NPORT-EX 2 NPORT_5884555499680819.htm GMO Trust

GMO Asset Allocation Bond Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

Par Value† /
Shares

    Description   Value ($)  
    DEBT OBLIGATIONS — 95.9%

 

          U.S. Government — 95.9%  
    8,172,458     U.S. Treasury Inflation Indexed Bond, 0.38%, due 01/15/27 (a)     8,983,213  
    10,403,680     U.S. Treasury Inflation Indexed Bond, 0.50%, due 01/15/28 (a)     11,636,679  
    15,043,616     U.S. Treasury Inflation Indexed Bond, 1.75%, due 01/15/28 (a)     18,236,467  
    6,278,187     U.S. Treasury Inflation Indexed Bond, 0.75%, due 07/15/28 (a)     7,206,100  
    11,362,988     U.S. Treasury Inflation Indexed Bond, 0.88%, due 01/15/29 (a)     13,176,331  
    19,549,794     U.S. Treasury Inflation Indexed Bond, 2.50%, due 01/15/29 (a)     25,388,259  
    16,387,920     U.S. Treasury Inflation Indexed Bond, 0.13%, due 01/15/30 (a)     18,043,783  
    14,414,704     U.S. Treasury Inflation Indexed Bond, 0.13%, due 07/15/30 (a)     15,956,965  
     

 

 

 
    Total U.S. Government     118,627,797  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $108,468,640)
    118,627,797  
     

 

 

 
          MUTUAL FUNDS — 3.6%  
          United States — 3.6%  
          Affiliated Issuers — 3.6%  
    894,700     GMO U.S. Treasury Fund     4,509,289  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $4,509,289)
    4,509,289  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.3%  
          Money Market Funds — 0.3%  
    411,936     State Street Institutional Treasury Money Market Fund-Premier Class, 0.01% (b)     411,936  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $411,936)     411,936  
     

 

 

 
    TOTAL INVESTMENTS — 99.8%
(Cost $113,389,865)
    123,549,022  
    Other Assets and Liabilities (net) — 0.2%     211,455  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $123,760,477  
     

 

 

 

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 November 30, 2020.

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    DEBT OBLIGATIONS — 96.7%

 

          Albania — 1.0%  
    Foreign Government Obligations  
    49,649,849     Republic of Albania Par Bond, Zero Coupon, due 08/31/25 (a) (b)     45,757,856  
     

 

 

 
          Angola — 0.6%  
    Foreign Government Obligations

 

    23,300,000     Angolan Government International Bond, Reg S, 9.38%, due 05/08/48     20,271,000  
    7,300,000     Angolan Government International Bond, Reg S, 9.13%, due 11/26/49     6,259,750  
     

 

 

 
    Total Angola     26,530,750  
     

 

 

 
          Argentina — 2.9%      
    Foreign Government Obligations

 

    11,490,713     Republic of Argentina, 1.00%, due 07/09/29     4,885,727  
    23,333,493     Republic of Argentina, Step Up, 0.13%, due 07/09/30     9,100,062  

JPY

    407,485,276     Republic of Argentina, Variable Rate, 4.33%, due 12/31/33 (c)     938,083  
    56,547,942     Republic of Argentina, Step Up, 0.13%, due 07/09/35     19,820,055  
    72,008,994     Republic of Argentina, Step Up, 0.13%, due 01/09/38     28,093,064  

JPY

    323,575,000     Republic of Argentina, 0.67%, due 12/31/38 (c)     966,037  
    141,261,240     Republic of Argentina, Step Up, 0.13%, due 07/09/41     51,281,617  
    34,047,000     Republic of Argentina, Step Up, 0.13%, due 07/09/46     12,086,685  
     

 

 

 
    Total Argentina     127,171,330  
     

 

 

 
          Armenia — 0.5%      
    Foreign Government Agency — 0.4%

 

    20,000,000     Ardshinbank CJSC Via Dilijan Finance BV, Reg S, 6.50%, due 01/28/25     18,200,000  
     

 

 

 
          Foreign Government Obligations — 0.1%  
    2,195,000     Republic of Armenia, Reg S, 7.15%, due 03/26/25     2,456,342  
     

 

 

 
    Total Armenia     20,656,342  
     

 

 

 
          Azerbaijan — 1.4%      
    Foreign Government Agency — 0.9%

 

    11,388,000     International Bank of Azerbaijan OJSC, Reg S, 3.50%, due 09/01/24     10,704,720  
    18,950,000     Petkim Petrokimya Holding AS, Reg S, 5.88%, due 01/26/23     19,145,422  
    8,300,000     Southern Gas Corridor CJSC, Reg S, 6.88%, due 03/24/26     9,972,450  
     

 

 

 
        39,822,592  
     

 

 

 
    
Par Value†
    Description   Value ($)  
    Azerbaijan — continued  
          Foreign Government Obligations — 0.5%  
    20,300,000     Republic of Azerbaijan International Bond, Reg S, 5.13%, due 09/01/29     22,431,500  
     

 

 

 
    Total Azerbaijan     62,254,092  
     

 

 

 
          Bahamas — 0.7%      
    Foreign Government Obligations

 

    14,569,000     Bahamas Government International Bond, Reg S, 6.00%, due 11/21/28     13,813,233  
    6,163,000     Bahamas Government International Bond, Reg S, 6.95%, due 11/20/29     6,012,777  
    11,400,000     Bahamas Government International Bond, 144A, 8.95%, due 10/15/32     12,312,000  
     

 

 

 
    Total Bahamas     32,138,010  
     

 

 

 
          Bahrain — 1.7%      
    Foreign Government Obligations

 

    4,100,000     Bahrain Government International Bond, Reg S, 6.00%, due 09/19/44     4,157,656  
    61,590,000     Bahrain Government International Bond, Reg S, 7.50%, due 09/20/47     70,366,575  
     

 

 

 
    Total Bahrain     74,524,231  
     

 

 

 
          Barbados — 0.5%      
    Foreign Government Obligations

 

    14,400,000     Barbados Government International Bond, Reg S, 6.50%, due 10/01/29     13,896,000  
    7,600,000     Barbados Government International Bond, 144A, 6.50%, due 10/01/29     7,334,000  
     

 

 

 
    Total Barbados     21,230,000  
     

 

 

 
          Belarus — 0.5%      
    Foreign Government Agency — 0.2%

 

    8,304,000     Development Bank of the Republic of Belarus JSC, Reg S, 6.75%, due 05/02/24     8,259,885  
     

 

 

 
          Foreign Government Obligations — 0.3%  
    12,200,000     Republic of Belarus International Bond, Reg S, 6.20%, due 02/28/30     12,226,688  
     

 

 

 
    Total Belarus     20,486,573  
     

 

 

 
          Belize — 0.5%      
    Foreign Government Obligations

 

    52,833,700     Republic of Belize, Reg S, Step Up, 4.94%, due 02/20/34     23,577,039  
     

 

 

 
          Bermuda — 0.2%  
    Foreign Government Obligations

 

    7,990,000     Bermuda Government International Bond, Reg S, 4.75%, due 02/15/29     9,675,391  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    Bolivia — 0.2%  
    Foreign Government Obligations

 

    9,200,000     Bolivia Government International Bond, Reg S, 4.50%, due 03/20/28 (d)     8,308,750  
     

 

 

 
          Brazil — 2.1%  
    Corporate Debt — 0.5%

 

    22,662,254     MV24 Capital BV, Reg S, 6.75%, due 06/01/34     24,457,530  
     

 

 

 
          Foreign Government Agency — 1.1%  
    40,039,000     Petrobras Global Finance BV, 6.85%, due 06/05/2115     46,827,112  
     

 

 

 
          Foreign Government Obligations — 0.5%  
    13,397,000     Republic of Brazil, 7.13%, due 01/20/37     17,880,808  
    4,200,000     Republic of Brazil, 4.75%, due 01/14/50     4,437,563  
     

 

 

 
        22,318,371  
     

 

 

 
    Total Brazil     93,603,013  
     

 

 

 
          Cameroon — 0.3%      
    Foreign Government Obligations  
    10,300,000     Republic of Cameroon International Bond, Reg S, 9.50%, due 11/19/25     11,188,375  
     

 

 

 
          Chile — 2.8%  
    Corporate Debt — 1.3%

 

    24,100,000     Empresa de Transporte de Pasajeros Metro SA, Reg S, 4.70%, due 05/07/50     30,245,500  
    20,411,000     Empresa Nacional de Electricidad SA, 8.13%, due 02/01/97 (a)     27,599,754  
     

 

 

 
        57,845,254  
     

 

 

 
          Foreign Government Agency — 1.5%  
    8,800,000     Corp Nacional del Cobre de Chile, Reg S, 4.25%, due 07/17/42     10,169,500  
    18,700,000     Corp Nacional del Cobre de Chile, 144A, 3.70%, due 01/30/50     20,435,594  
    8,100,000     Empresa Nacional del Petroleo, Reg S, 5.25%, due 11/06/29     9,451,687  
    23,750,000     Empresa Nacional del Petroleo, Reg S, 4.50%, due 09/14/47     26,028,516  
     

 

 

 
        66,085,297  
     

 

 

 
    Total Chile     123,930,551  
     

 

 

 
          China — 0.3%      
    Corporate Debt  
    14,200,000     Lamar Funding Ltd., Reg S, 3.96%, due 05/07/25     13,556,563  
     

 

 

 
          Colombia — 2.0%  
    Foreign Government Agency — 1.7%

 

    45,411,000     Ecopetrol SA, 7.38%, due 09/18/43     60,992,649  
    3,800,000     Ecopetrol SA, 5.88%, due 05/28/45     4,504,710  
    
Par Value†
    Description   Value ($)  
    Colombia — continued  
    Foreign Government Agency — continued

 

COP

    30,200,000,000     Empresas Publicas de Medellin ESP, Reg S, 8.38%, due 11/08/27     8,644,317  
     

 

 

 
        74,141,676  
     

 

 

 
          Foreign Government Obligations — 0.3%  
    647,000     Colombia Government International Bond, 8.38%, due 02/15/27     802,268  
    3,800,000     Colombia Government International Bond, 11.85%, due 03/09/28 (c)     5,559,887  
    4,800,000     Colombia Government International Bond, 5.63%, due 02/26/44     6,118,500  
     

 

 

 
        12,480,655  
     

 

 

 
    Total Colombia     86,622,331  
     

 

 

 
          Congo Republic (Brazzaville) — 1.2%  
    Foreign Government Obligations

 

    66,264,267     Republic of Congo, Reg S, Step Up, 6.00%, due 06/30/29 (c)     50,940,655  
     

 

 

 
          Costa Rica — 1.2%  
    Foreign Government Agency — 0.1%

 

    3,898,000     Instituto Costarricense de Electricidad, Reg S, 6.38%, due 05/15/43     2,806,560  
     

 

 

 
          Foreign Government Obligations — 1.1%  
    18,200,000     Costa Rica Government International Bond, Reg S, 9.20%, due 08/26/26     18,916,616  
    36,731,000     Costa Rica Government International Bond, Reg S, 7.16%, due 03/12/45     31,944,491  
     

 

 

 
        50,861,107  
     

 

 

 
    Total Costa Rica     53,667,667  
     

 

 

 
          Czech Republic — 0.2%      
    Corporate Debt

 

    5,458,000     CEZ AS, Reg S, 5.63%, due 04/03/42     6,600,103  
     

 

 

 
          Dominican Republic — 2.7%  
  Asset-Backed Securities — 0.3%  
    11,231,033     Autopistas Del Nordeste Ltd., Reg S, 9.39%, due 04/15/24     11,606,570  
     

 

 

 
          Foreign Government Obligations — 2.4%  
    17,687,000     Dominican Republic International Bond, Reg S, 8.63%, due 04/20/27     21,556,031  

DOP

    1,500,000,000     Dominican Republic International Bond, 144A, 10.38%, due 01/11/30     28,036,557  
    10,500,000     Dominican Republic International Bond, 144A, 6.40%, due 06/05/49     11,628,750  
    42,000,000     Dominican Republic International Bond, 144A, 5.88%, due 01/30/60     43,771,875  
     

 

 

 
        104,993,213  
     

 

 

 
    Total Dominican Republic     116,599,783  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    Ecuador — 2.6%  
    Foreign Government Obligations

 

    1,000,000     Ecuador Government International Bond, 5.00%, due 02/28/25 (c)     891,250  
    9,746,892     Ecuador Government International Bond, Zero Coupon, 144A, due 07/31/30     4,313,000  
    30,476,250     Ecuador Government International Bond, 144A, 0.50%, due 07/31/30     19,314,323  
    101,887,125     Ecuador Government International Bond, 144A, 0.50%, due 07/31/35     55,528,483  
    36,603,750     Ecuador Government International Bond, 144A, 0.50%, due 07/31/40     18,027,347  
    19,875,364     Ecuador Social Bond Sarl, Zero Coupon, 144A, due 01/30/35     13,918,966  
     

 

 

 
    Total Ecuador     111,993,369  
     

 

 

 
          Egypt — 2.3%  
    Foreign Government Obligations

 

    26,800,000     Egypt Government International Bond, Reg S, 7.90%, due 02/21/48     27,654,250  
    33,900,000     Egypt Government International Bond, Reg S, 8.70%, due 03/01/49     37,173,469  
    21,400,000     Egypt Government International Bond, 144A, 8.88%, due 05/29/50     23,787,437  
    11,414,000     Egypt Government International Bond, Reg S, 8.15%, due 11/20/59     11,866,993  
     

 

 

 
    Total Egypt     100,482,149  
     

 

 

 
          El Salvador — 0.8%  
    Foreign Government Obligations

 

    17,175,000     El Salvador Government International Bond, Reg S, 7.65%, due 06/15/35     14,990,555  
    22,500,000     El Salvador Government International Bond, 144A, 7.12%, due 01/20/50     18,745,312  
     

 

 

 
    Total El Salvador     33,735,867  
     

 

 

 
          Ethiopia — 0.2%  
    Foreign Government Obligations

 

    6,690,000     Ethiopia International Bond, Reg S, 6.63%, due 12/11/24     6,568,744  
     

 

 

 
          Gabon — 0.3%  
    Foreign Government Obligations

 

    1,873,667     Gabonese Republic, Reg S, 6.38%, due 12/12/24     1,883,035  
    13,000,000     Gabonese Republic, 144A, 6.63%, due 02/06/31     12,780,625  
     

 

 

 
    Total Gabon     14,663,660  
     

 

 

 
          Ghana — 0.9%  
    Foreign Government Agency — 0.3%

 

    11,986,441     Saderea, Ltd., Reg S, 12.50%, due 11/30/26     12,376,000  
     

 

 

 
    
Par Value†
    Description   Value ($)  
    Ghana — continued  
    Foreign Government Obligations — 0.6%

 

    13,000,000     Republic of Ghana, Reg S, 8.95%, due 03/26/51     12,914,688  
    14,300,000     Republic of Ghana, 144A, 8.75%, due 03/11/61     14,031,875  
     

 

 

 
        26,946,563  
     

 

 

 
    Total Ghana     39,322,563  
     

 

 

 
          Grenada — 0.2%  
    Foreign Government Obligations

 

    10,926,188     Grenada Government International Bond, Reg S, 7.00%, due 05/12/30     7,648,332  
     

 

 

 
          Guatemala — 0.8%  
    Foreign Government Obligations

 

    11,765,000     Republic of Guatemala, Reg S, 8.13%, due 10/06/34     16,750,419  
    14,700,000     Republic of Guatemala, 144A, 6.13%, due 06/01/50     18,742,500  
     

 

 

 
    Total Guatemala     35,492,919  
     

 

 

 
          Honduras — 0.1%  
    Foreign Government Obligations

 

    3,200,000     Honduras Government International Bond, 144A, 5.63%, due 06/24/30     3,593,000  
     

 

 

 
          India — 1.2%  
    Corporate Debt — 1.1%

 

    29,700,000     Delhi International Airport Ltd., Reg S, 6.45%, due 06/04/29     29,477,250  
    21,140,000     GMR Hyderabad International Airport Ltd, Reg S, 4.25%, due 10/27/27     19,699,838  
     

 

 

 
        49,177,088  
     

 

 

 
          Foreign Government Agency — 0.1%  
    2,500,000     Indian Railway Finance Corp., Ltd., Reg S, 3.25%, due 02/13/30     2,650,781  
     

 

 

 
    Total India     51,827,869  
     

 

 

 
          Indonesia — 5.3%  
    Foreign Government Agency — 3.6%

 

    14,700,000     Hutama Karya Persero PT, Reg S, 3.75%, due 05/11/30     16,353,750  
    3,700,000     Indonesia Asahan Aluminium Persero PT, 144A, 5.45%, due 05/15/30     4,391,438  
    15,000,000     Indonesia Asahan Aluminium Persero PT, 144A, 5.80%, due 05/15/50     18,487,500  
    18,400,000     Pertamina Persero PT, Reg S, 6.50%, due 05/27/41     24,742,250  
    8,100,000     Pertamina Persero PT, Reg S, 5.63%, due 05/20/43     10,140,107  
    9,900,000     Pertamina Persero PT, Reg S, 4.15%, due 02/25/60     10,543,500  
    8,000,000     Perusahaan Listrik Negara PT, Reg S, 6.15%, due 05/21/48     10,627,500  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    Indonesia — continued  
    Foreign Government Agency — continued

 

    14,200,000     Perusahaan Listrik Negara PT, Reg S, 6.25%, due 01/25/49     19,192,187  
    5,300,000     Perusahaan Penerbit SBSN Indonesia III, 144A, 3.80%, due 06/23/50     5,849,875  
    41,500,000     Saka Energi Indonesia PT, Reg S, 4.45%, due 05/05/24     39,204,531  
     

 

 

 
        159,532,638  
     

 

 

 
          Foreign Government Obligations — 1.7%  
    43,091,000     Indonesia Government International Bond, Reg S, 6.63%, due 02/17/37     61,808,653  
    7,900,000     Indonesia Government International Bond, Reg S, 5.25%, due 01/08/47     10,657,594  
     

 

 

 
        72,466,247  
     

 

 

 
    Total Indonesia     231,998,885  
     

 

 

 
          Israel — 0.4%  
    Foreign Government Agency

 

    12,323,000     Israel Electric Corp., Ltd., Reg S, 8.10%, due 12/15/96     17,836,002  
     

 

 

 
          Ivory Coast — 1.0%  
    Foreign Government Obligations

 

EUR

    33,200,000     Ivory Coast Government International Bond, Reg S, 6.63%, due 03/22/48     42,486,205  
     

 

 

 
          Jamaica — 0.8%  
    Corporate Debt — 0.1%

 

    6,251,000     TransJamaican Highway Ltd, Reg S, 5.75%, due 10/10/36     6,184,583  
     

 

 

 
          Foreign Government Agency — 0.3%  
    11,400,000     National Road Operating & Construction Co., Ltd., Reg S, 9.38%, due 11/10/24 (c)     12,283,500  
     

 

 

 
          Foreign Government Obligations — 0.4%  
    11,375,000     Jamaica Government International Bond, 7.88%, due 07/28/45     15,356,250  
     

 

 

 
    Total Jamaica     33,824,333  
     

 

 

 
          Jordan — 1.4%  
    Foreign Government Obligations

 

    53,850,000     Jordan Government International Bond, Reg S, 7.38%, due 10/10/47     59,790,328  
     

 

 

 
          Kazakhstan — 0.9%  
    Foreign Government Agency

 

    9,000,000     Kazakhstan Temir Zholy Finance BV, Reg S, 6.95%, due 07/10/42     12,760,312  
    19,900,000     KazMunayGas National Co JSC, Reg S, 6.38%, due 10/24/48     28,337,600  
     

 

 

 
    Total Kazakhstan     41,097,912  
     

 

 

 
    
Par Value†
    Description   Value ($)  
    Kenya — 0.8%  
    Foreign Government Obligations

 

    32,600,000     Kenya Government International Bond, Reg S, 8.25%, due 02/28/48     36,440,687  
     

 

 

 
          Kuwait — 0.4%  
    Corporate Debt

 

    7,300,000     Equate Petrochemical BV, Reg S, 4.25%, due 11/03/26     7,952,438  
    9,200,000     MEGlobal Canada ULC, 144A, 5.88%, due 05/18/30     11,189,500  
     

 

 

 
    Total Kuwait     19,141,938  
     

 

 

 
          Lebanon — 0.3%  
    Foreign Government Obligations

 

    15,000,000     Lebanon Government International Bond, Reg S, 6.85%, due 03/23/27 (e)     1,875,000  
    41,605,000     Lebanon Government International Bond, Reg S, 7.15%, due 11/20/31 (e)     4,992,600  
    18,800,000     Lebanon Government International Bond, 8.20%, due 05/17/33 (e)     2,256,000  
    42,944,000     Lebanon Government International Bond, 8.25%, due 05/17/34 (e)     5,153,280  
     

 

 

 
    Total Lebanon     14,276,880  
     

 

 

 
          Malaysia — 0.6%  
    Foreign Government Agency

 

    10,700,000     1MDB Global Investments Ltd, Reg S, 4.40%, due 03/09/23     10,736,781  
    11,700,000     Petronas Capital Ltd., 144A, 4.80%, due 04/21/60     17,078,344  
     

 

 

 
    Total Malaysia     27,815,125  
     

 

 

 
          Mexico — 6.0%  
    Foreign Government Agency — 3.9%

 

    27,884,000     Petroleos Mexicanos, 6.35%, due 02/12/48     23,357,208  
    6,400,000     Petroleos Mexicanos, Reg S, 6.63%, due 09/29/49     5,244,800  
    131,800,000     Petroleos Mexicanos, 7.69%, due 01/23/50     121,288,950  
    22,986,000     Petroleos Mexicanos, 6.95%, due 01/28/60     19,710,495  
     

 

 

 
        169,601,453  
     

 

 

 
          Foreign Government Obligations — 2.1%  
    7,078,000     United Mexican States, 5.75%, due 10/12/2110     8,858,117  

GBP

    56,796,000     United Mexican States, 5.63%, due 03/19/2114     83,289,362  
     

 

 

 
        92,147,479  
     

 

 

 
    Total Mexico     261,748,932  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    Mongolia — 0.1%  
    Foreign Government Obligations

 

    2,400,000     Mongolia Government International Bond, 144A, 5.13%, due 04/07/26     2,532,000  
     

 

 

 
          Morocco — 0.4%  
    Foreign Government Agency

 

    14,500,000     Office Cherifien des Phosphates SA, Reg S, 6.88%, due 04/25/44     18,510,156  
     

 

 

 
          Mozambique — 0.2%  
    Foreign Government Obligations

 

    9,276,000     Mozambique International Bond, Reg S, Step Up, 5.00%, due 09/15/31     8,075,918  
     

 

 

 
          Nigeria — 0.9%  
    Foreign Government Obligations

 

    7,400,000     Nigeria Government International Bond, Reg S, 8.75%, due 01/21/31     8,362,000  
    10,700,000     Nigeria Government International Bond, Reg S, 7.70%, due 02/23/38     11,074,500  
    10,750,000     Nigeria Government International Bond, Reg S, 7.63%, due 11/28/47     10,951,562  
    7,600,000     Nigeria Government International Bond, Reg S, 9.25%, due 01/21/49     8,626,000  
     

 

 

 
    Total Nigeria     39,014,062  
     

 

 

 
          Oman — 2.7%  
    Foreign Government Obligations

 

    28,000,000     Oman Government International Bond, 144A, 6.00%, due 08/01/29     27,728,750  
    10,000,000     Oman Government International Bond, Reg S, 6.50%, due 03/08/47     9,109,375  
    86,900,000     Oman Government International Bond, Reg S, 6.75%, due 01/17/48     80,246,719  
     

 

 

 
    Total Oman     117,084,844  
     

 

 

 
          Pakistan — 0.7%  
    Foreign Government Obligations

 

    28,762,000     Islamic Republic of Pakistan, Reg S, 7.88%, due 03/31/36     29,355,216  
     

 

 

 
          Panama — 1.6%  
    Foreign Government Agency — 0.6%

 

    24,379,199     Aeropuerto Internacional de Tocumen SA, Reg S, 6.00%, due 11/18/48     27,947,704  
     

 

 

 
          Foreign Government Obligations — 1.0%  
    7,951,000     Panama Government International Bond, 8.13%, due 04/28/34     11,528,950  
    9,000,000     Panama Government International Bond, 4.30%, due 04/29/53     11,233,125  
    16,800,000     Panama Government International Bond, 4.50%, due 04/01/56     21,277,200  
     

 

 

 
        44,039,275  
     

 

 

 
    Total Panama     71,986,979  
     

 

 

 
    
Par Value†
    Description   Value ($)  
    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     1,414,000  
     

 

 

 
          Peru — 1.7%  
    Foreign Government Agency — 1.1%

 

    9,289,451     Peru Enhanced Pass-Through Finance Ltd., Reg S, Zero Coupon, due 06/02/25 (c)     8,968,036  
    33,395,000     Petroleos del Peru SA, Reg S, 5.63%, due 06/19/47     40,115,744  
     

 

 

 
        49,083,780  
     

 

 

 
          Foreign Government Obligations — 0.6%  
    26,700,000     Peruvian Government International Bond, 3.23%, due 07/28/2121     26,299,500  
     

 

 

 
    Total Peru     75,383,280  
     

 

 

 
          Philippines — 1.6%  
    Foreign Government Agency

 

    4,700,000     Bangko Sentral ng Pilipinas Bond, 8.60%, due 06/15/97 (c)     8,689,125  
    40,012,000     National Power Corp., Global Bond, 9.63%, due 05/15/28     59,930,474  
     

 

 

 
    Total Philippines     68,619,599  
     

 

 

 
          Qatar — 2.2%  
    Foreign Government Agency — 0.3%

 

    13,378,000     QNB Finansbank AS, Reg S, 6.88%, due 09/07/24     14,084,526  
     

 

 

 
          Foreign Government Obligations — 1.9%  
    2,800,000     Qatar Government International Bond, 144A, 3.40%, due 04/16/25     3,080,875  
    12,000,000     Qatar Government International Bond, 144A, 3.75%, due 04/16/30     14,055,000  
    38,200,000     Qatar Government International Bond, 144A, 4.40%, due 04/16/50     50,424,000  
    11,000,000     Qatar Government International Bond, Reg S, 5.10%, due 04/23/48     15,716,250  
     

 

 

 
        83,276,125  
     

 

 

 
    Total Qatar     97,360,651  
     

 

 

 
          Romania — 0.8%  
    Foreign Government Obligations

 

EUR

    4,000,000     Romanian Government International Bond, 144A, 2.63%, due 12/02/40     4,807,187  

EUR

    10,900,000     Romanian Government International Bond, 144A, 3.38%, due 01/28/50     14,383,541  
    16,100,000     Romanian Government International Bond, 144A, 4.00%, due 02/14/51     17,609,375  
     

 

 

 
    Total Romania     36,800,103  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    Russia — 2.5%  
    Foreign Government Agency — 0.5%

 

    21,870,000     GTLK Europe Capital DAC, Reg S, 4.65%, due 03/10/27     22,252,725  
     

 

 

 
          Foreign Government Obligations — 2.0%  
    34,000,000     Russian Foreign Bond, 144A, 5.10%, due 03/28/35     42,786,875  
    8,800,000     Russian Foreign Bond, Reg S, 5.10%, due 03/28/35     11,074,250  
    4,400,000     Russian Foreign Bond, Reg S, 5.88%, due 09/16/43     6,232,875  
    20,800,000     Russian Foreign Bond, Reg S, 5.25%, due 06/23/47     28,281,500  
     

 

 

 
        88,375,500  
     

 

 

 
    Total Russia     110,628,225  
     

 

 

 
          Saudi Arabia — 3.0%  
    Corporate Debt — 1.2%

 

    26,550,000     ACWA Power Management And Investments One Ltd, Reg S, 5.95%, due 12/15/39     31,196,250  
    21,400,000     Saudi Arabian Oil Co., 144A, 3.50%, due 11/24/70     21,532,252  
     

 

 

 
        52,728,502  
     

 

 

 
          Foreign Government Obligations — 1.8%  
    62,300,000     Saudi Government International Bond, 144A, 4.50%, due 04/22/60     79,276,750  
     

 

 

 
    Total Saudi Arabia     132,005,252  
     

 

 

 
          Senegal — 0.3%  
    Foreign Government Obligations

 

    14,000,000     Senegal Government International Bond, Reg S, 6.75%, due 03/13/48     15,172,500  
     

 

 

 
          South Africa — 4.0%  
    Foreign Government Agency — 0.7%

 

    13,600,000     Eskom Holdings SOC, Ltd., Reg S, 7.13%, due 02/11/25     13,901,750  
    13,600,000     Eskom Holdings SOC, Ltd., Reg S, 8.45%, due 08/10/28     14,598,750  

ZAR

    163,000,000     Eskom Holdings SOC, Ltd., Zero Coupon, due 12/31/32     1,571,347  

ZAR

    27,300,000     Transnet, Ltd., 13.50%, due 04/18/28     2,124,644  
     

 

 

 
        32,196,491  
     

 

 

 
          Foreign Government Obligations — 3.3%  

ZAR

    543,600,000     Republic of South Africa Government International Bond, 6.50%, due 02/28/41     22,555,143  
    13,700,000     Republic of South Africa Government International Bond, 5.65%, due 09/27/47     13,156,281  
    12,600,000     Republic of South Africa Government International Bond, 6.30%, due 06/22/48     12,911,063  
    
Par Value†
    Description   Value ($)  
    South Africa — continued  
          Foreign Government Obligations — continued  
    97,400,000     Republic of South Africa Government International Bond, 5.75%, due 09/30/49     93,686,625  
     

 

 

 
        142,309,112  
     

 

 

 
    Total South Africa     174,505,603  
     

 

 

 
          Sri Lanka — 1.4%      
    Foreign Government Obligations

 

    9,280,000     Sri Lanka Government International Bond, Reg S, 6.83%, due 07/18/26     5,623,100  
    13,644,000     Sri Lanka Government International Bond, Reg S, 6.20%, due 05/11/27     8,015,850  
    34,500,000     Sri Lanka Government International Bond, Reg S, 6.75%, due 04/18/28     20,333,437  
    8,800,000     Sri Lanka Government International Bond, Reg S, 7.85%, due 03/14/29     5,192,000  
    35,300,000     Sri Lanka Government International Bond, 144A, 7.55%, due 03/28/30     20,654,383  
     

 

 

 
    Total Sri Lanka     59,818,770  
     

 

 

 
          SupraNational — 0.3%  
    Foreign Government Agency

 

TRY

    263,000,000     International Finance Corp., Zero Coupon, Reg S, due 02/15/29     12,880,274  
     

 

 

 
          Suriname — 0.4%  
    Foreign Government Obligations

 

    14,000,000     Republic of Suriname, 144A, 12.88%, due 12/30/23(e)     9,108,750  
    19,759,000     Republic of Suriname, Reg S, 9.25%, due 10/26/26(e)     9,836,277  
     

 

 

 
    Total Suriname     18,945,027  
     

 

 

 
          Tajikistan — 0.3%  
    Foreign Government Obligations

 

    13,874,000     Republic of Tajikistan International Bond, Reg S, 7.13%, due 09/14/27     11,155,563  
     

 

 

 
          Trinidad And Tobago — 1.0%  
    Foreign Government Agency

 

    9,800,000     Telecommunications Services of Trinidad & Tobago Ltd, 144A, 8.88%, due 10/18/29     9,922,500  
    4,027,000     Trinidad Generation UnLtd, Reg S, 5.25%, due 11/04/27     4,201,923  
    24,388,000     Trinidad Petroleum Holdings Ltd, Reg S, 9.75%, due 06/15/26     27,444,121  
     

 

 

 
    Total Trinidad And Tobago     41,568,544  
     

 

 

 
          Tunisia — 1.4%  
    Foreign Government Agency

 

JPY

    7,340,000,000     Banque Centrale de Tunisie SA, 4.30%, due 08/02/30(c)     45,023,108  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    Tunisia — continued  
    Foreign Government Agency — continued

 

JPY

    2,500,000,000     Banque Centrale de Tunisie SA, 4.20%, due 03/17/31 (c)     14,866,705  
     

 

 

 
    Total Tunisia     59,889,813  
     

 

 

 
          Turkey — 4.0%  
    Foreign Government Agency — 0.5%

 

    10,600,000     Export Credit Bank of Turkey, Reg S, 6.13%, due 05/03/24     10,653,000  
    3,300,000     TC Ziraat Bankasi AS, Reg S, 5.13%, due 09/29/23     3,240,187  
    8,200,000     Turkiye Vakiflar Bankasi TAO, Reg S, 5.75%, due 01/30/23     8,169,250  
     

 

 

 
        22,062,437  
     

 

 

 
          Foreign Government Obligations — 3.5%  
    9,500,000     Republic of Turkey, 6.88%, due 03/17/36     9,850,313  
    16,544,000     Republic of Turkey, 6.75%, due 05/30/40     16,781,820  
    51,802,000     Republic of Turkey, 6.00%, due 01/14/41     48,467,246  
    23,600,000     Republic of Turkey, 6.63%, due 02/17/45     23,474,625  
    59,013,000     Republic of Turkey, 5.75%, due 05/11/47     53,019,492  
     

 

 

 
        151,593,496  
     

 

 

 
    Total Turkey     173,655,933  
     

 

 

 
          Ukraine — 2.8%  
    Foreign Government Agency — 0.6%

 

EUR

    3,800,000     NAK Naftogaz Ukraine via Kondor Finance Plc, Reg S, 7.13%, due 07/19/24     4,624,905  
    15,500,000     NAK Naftogaz Ukraine via Kondor Finance Plc, 144A, 7.63%, due 11/08/26     15,655,000  
    1,885,050     Oschadbank Via SSB #1 Plc, Reg S, Step Up, 9.63%, due 03/20/25     1,993,441  
    2,001,000     Ukreximbank Via Biz Finance Plc, Reg S, 9.75%, due 01/22/25     2,101,050  
     

 

 

 
        24,374,396  
     

 

 

 
          Foreign Government Obligations — 2.2%  
    8,585,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/24     9,363,016  
    6,585,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/25     7,236,915  
    15,019,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/26     16,586,608  
    3,869,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/27     4,284,918  
    30,200,000     Ukraine Government International Bond, Reg S, 7.38%, due 09/25/32     32,398,937  
    
Par Value†
    Description   Value ($)  
    Ukraine — continued  
          Foreign Government Obligations — continued  
    26,500,000     Ukraine Government International Bond, 144A, 7.25%, due 03/15/33     28,131,406  
     

 

 

 
        98,001,800  
     

 

 

 
    Total Ukraine     122,376,196  
     

 

 

 
          United Arab Emirates — 1.7%  
    Foreign Government Agency — 1.1%

 

    3,100,000     DAE Sukuk Difc Ltd., 144A, 3.75%, due 02/15/26     3,123,250  
    10,000,000     DP World Plc, Reg S, 6.85%, due 07/02/37     13,212,500  
    14,000,000     DP World Plc, Reg S, 4.70%, due 09/30/49     15,470,000  
    15,100,000     Finance Department Government of Sharjah, 144A, 4.00%, due 07/28/50     15,553,000  
     

 

 

 
        47,358,750  
     

 

 

 
          Foreign Government Obligations — 0.6%  
    15,700,000     Abu Dhabi Government International Bond, 144A, 3.13%, due 09/30/49     17,034,500  
    9,100,000     Abu Dhabi Government International Bond, Reg S, 2.70%, due 09/02/70     8,659,218  
     

 

 

 
        25,693,718  
     

 

 

 
    Total United Arab Emirates     73,052,468  
     

 

 

 
          United States — 6.3%  
    Asset-Backed Securities — 0.4%

 

    1,929,757     Countrywide Home Equity Loan Trust, Series 05-F, Class 2A, AMBAC, Variable Rate, 1 mo. LIBOR + 0.24%, 0.38%, due 12/15/35     1,835,188  
    874,972     Countrywide Home Equity Loan Trust, Series 05-H, Class 2A, FGIC, Variable Rate, 1 mo. LIBOR + 0.24%, 0.38%, due 12/15/35     857,047  
    1,394,734     Countrywide Home Equity Loan Trust, Series 06-D, Class 2A, XLCA, Variable Rate, 1 mo. LIBOR + 0.20%, 0.34%, due 05/15/36     1,309,105  
    9,216,784     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A3, Variable Rate, 1 mo. LIBOR + 0.15%, 0.30%, due 11/25/36     4,348,369  
    9,339,674     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A4, Variable Rate, 1 mo. LIBOR + 0.22%, 0.37%, due 11/25/36     4,465,330  
    4,876,405     Wamu Asset-Backed Certificates, Series 07-HE2, Class 2A4, Variable Rate, 1 mo. LIBOR + 0.36%, 0.51%, due 04/25/37     2,552,829  
     

 

 

 
        15,367,868  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    United States — continued  
          Corporate Debt — 0.0%  
    385,402     AMBAC Assurance Corp., 144A, 5.10%, due 06/07/2169     524,147  
    1,417,119     AMBAC LSNI LLC, 3 mo. LIBOR + 5.00%, 6.00%, due 02/12/23     1,411,804  
     

 

 

 
        1,935,951  
     

 

 

 
          U.S. Government — 5.9%  
    75,000,000     U.S. Treasury Note, 1.75%, due 02/28/22 (f)     76,523,437  
    60,000,000     U.S. Treasury Note, 0.13%, due 04/30/22     60,002,344  
    102,000,000     U.S. Treasury Note, 0.13%, due 05/31/22     101,988,047  
    20,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.06%, 0.14%, due 07/31/22     20,002,563  
     

 

 

 
        258,516,391  
     

 

 

 
    Total United States     275,820,210  
     

 

 

 
          Uruguay — 1.2%  
    Foreign Government Obligations

 

    38,218,000     Uruguay Government International Bond, 5.10%, due 06/18/50     52,406,432  
     

 

 

 
          Uzbekistan — 0.5%  
    Foreign Government Obligations

 

    11,700,000     Republic of Uzbekistan Bond, Reg S, 5.38%, due 02/20/29     13,250,250  
    7,600,000     Republic of Uzbekistan Bond, 144A, 3.70%, due 11/25/30     7,714,000  
     

 

 

 
    Total Uzbekistan     20,964,250  
     

 

 

 
          Venezuela — 0.9%  
    Foreign Government Agency — 0.2%

 

    111,465,000     Electricidad de Caracas Finance BV, Reg S, 8.50%, due 04/10/49 (c) (e)     1,114,650  
    176,000,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 05/16/24 (c) (e)     5,632,000  
    61,967,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 11/15/26 (c) (e)     2,013,928  
     

 

 

 
        8,760,578  
     

 

 

 
          Foreign Government Obligations — 0.7%  
    7,000,000     Venezuela Government International Bond, 9.38%, due 01/13/34 (c) (e)     630,000  
    19,028,000     Venezuela Government International Bond, Reg S, 7.75%, due 10/13/19 (c) (e)     1,712,520  
    36,600,000     Venezuela Government International Bond, Reg S, 6.00%, due 12/09/20 (c) (e)     3,294,000  
    23,750,000     Venezuela Government International Bond, Reg S, 12.75%, due 08/23/22 (c) (e)     2,137,500  
    172,793,000     Venezuela Government International Bond, Reg S, 9.00%, due 05/07/23 (c) (e)     15,551,370  
    
Par Value†
    Description   Value ($)  
    Venezuela — continued  
    Foreign Government Obligations — continued

 

    68,700,000     Venezuela Government International Bond, Reg S, 11.95%, due 08/05/31 (c) (e)     6,183,000  
     

 

 

 
        29,508,390  
     

 

 

 
    Total Venezuela     38,268,968  
     

 

 

 
          Vietnam — 0.7%      
    Foreign Government Agency — 0.6%

 

    28,058,000     Debt and Asset Trading Corp., Reg S, 1.00%, due 10/10/25     23,533,648  
     

 

 

 
          Foreign Government Obligations — 0.1%  
    6,498,000     Socialist Republic of Vietnam, Series 30 Yr, Variable Rate, 6 mo. LIBOR + 0.81%, 1.13%, due 03/13/28 (c)     5,848,200  
     

 

 

 
    Total Vietnam     29,381,848  
     

 

 

 
          Zambia — 0.3%  
    Foreign Government Obligations

 

    3,600,000     Zambia Government International Bond, Reg S, 5.38%, due 09/20/22     1,690,875  
    27,572,000     Zambia Government International Bond, Reg S, 8.97%, due 07/30/27     13,122,549  
     

 

 

 
    Total Zambia     14,813,424  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $4,364,480,089)
    4,224,251,212  
     

 

 

 
          LOAN ASSIGNMENTS — 0.4%  
          Chad — 0.3%  
    7,592,186     Glencore UK (Chad) Loan Agreement, Tranche A, Variable Rate, 3 mo. LIBOR + 2.00%, 2.23%, due 09/30/25 (c)     3,416,484  
    20,774,455     Glencore UK (Chad) Loan Agreement, Tranche B, Variable Rate, 3 mo. LIBOR + 2.25%, 2.48%, due 12/31/27 (c)     9,348,505  
     

 

 

 
    Total Chad     12,764,989  
     

 

 

 
          Indonesia — 0.0%  

EUR

    197,725     Republic of Indonesia, Indonesia Paris Club Debt, 5.10%, due 06/01/21 (a)     232,155  
     

 

 

 
          Kenya — 0.1%  
    5,475,000     Republic of Kenya Loan Agreement, 9.17%, due 04/10/25 (a)     5,446,047  
     

 

 

 
    TOTAL LOAN ASSIGNMENTS
(COST $24,012,721)
    18,443,191  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

Par Value† /
Shares
    Description   Value ($)  
    LOAN PARTICIPATIONS — 0.9%

 

          Angola — 0.7%  
    12,731,250     Republic of Angola Loan Agreement (Participation with Development Bank of Southern Africa), 6 mo. LIBOR + 6.25%, 6.51%, due 12/13/23 (c)     11,076,187  
    7,283,938     Republic of Angola Loan Agreement (Participation with Development Bank of Southern Africa), 6 mo. LIBOR + 6.25%, 6.51%, due 12/20/23 (c)     6,337,026  
    12,666,667     Republic of Angola Loan Agreement (Participation with GE Capital EFS Financing, Inc),
7.50%, due 08/30/24 (c)
    10,893,333  
    819,000     Republic of Angola Loan Agreement (Participation via Avenir II BV), Reg S, 6 mo. LIBOR + 4.50%, 4.98%, due 12/07/23 (c)     712,530  
     

 

 

 
    Total Angola     29,019,076  
     

 

 

 
          Egypt — 0.0%  

CHF

    14,152     Paris Club Loan Agreement (Participation with Standard Chartered Bank), Zero Coupon, due 01/03/24 (a)     12,689  
     

 

 

 
          Iraq — 0.2%  

EUR

    839,462     Republic of Iraq Paris Club Loan Agreement (Participation with Credit Suisse), 4.50%, due 12/30/27 (a)     631,835  

JPY

    2,173,530,179     Republic of Iraq Paris Club Loan Agreement (Participation with Deutsche Bank), 2.57%, due 01/01/28 (c)     9,160,168  

JPY

    283,992,408     Republic of Iraq Paris Club Loan Agreement (Participation with Deutsche Bank), 2.57%, due 01/01/28 (c)     1,197,040  

JPY

    120,710,790     Republic of Iraq Paris Club Loan Agreement (Participation with Deutsche Bank), 2.57%, due 01/01/28 (c)     506,027  
     

 

 

 
    Total Iraq     11,495,070  
     

 

 

 
          Russia — 0.0%      

EUR

    76,893,500     Russian Foreign Trade Obligations (Participation with GML International
Ltd.) (c) (e)
    3  
     

 

 

 
    TOTAL LOAN PARTICIPATIONS
(COST $66,121,301)
    40,526,838  
     

 

 

 
    MUTUAL FUNDS — 1.7%

 

          United States — 1.7%  
    Affiliated Issuers — 1.7%  
    14,838,144     GMO U.S. Treasury Fund     74,784,247  
     

 

 

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

 

 

 
Par Value† /
Shares
    Description   Value ($)  
    RIGHTS/WARRANTS — 0.4%  
      Argentina — 0.0%      

EUR

    335,089,675     Republic of Argentina GDP Linked, Variable Rate, Expires 12/15/35 (g)     799,424  

JPY

    740,189,000     Republic of Argentina GDP Linked, Variable Rate, Expires 12/15/35 (c) (g)     36,163  
     

 

 

 
    Total Argentina     835,587  
     

 

 

 
          Ukraine — 0.4%  
    14,446,000     Government of Ukraine GDP Linked, Reg S, Variable Rate, Expires 05/31/40 (g)     14,310,569  
     

 

 

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

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $49,378,720)
    15,146,156  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.2%  
          Money Market Funds — 0.2%      
    8,350,363     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (h)     8,350,363  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $8,350,363)
    8,350,363  
     

 

 

 
    TOTAL INVESTMENTS — 100.3%
(Cost $4,586,639,624)
    4,381,502,007  
    Other Assets and Liabilities (net) — (0.3%)     (13,915,614
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $4,367,586,393  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date
 

Counter-
party

  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation) ($)
 
01/19/2021   MSCI     COP       30,200,000,000       USD       8,280,779       (99,902
01/19/2021   BOA     EUR       49,161,600       USD       57,640,747       (1,088,873
01/19/2021   MSCI     GBP       49,311,000       USD       63,748,028       (2,036,479
01/19/2021   SSB     GBP       12,000,000       USD       15,644,954       (363,930
01/19/2021   MSCI     JPY       8,000,000,000       USD       76,135,521       (570,336
           

 

 

 
            $ (4,159,520
           

 

 

 
 

 

Reverse Repurchase Agreements(i)

 

Face Value

    

Description

   Value ($)  
USD     8,599,044      JP Morgan Securities, Inc., (0.50)%, dated 11/18/20 (collateral: Bolivia Government International Bond, Reg S, 4.50%, due 03/20/28), to be repurchased on demand at face value plus accrued interest.    $ (8,599,044)  
       

 

 

 
     Average balance outstanding    $ (8,719,100
     Average interest rate (net)      0.46
     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.

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)     (730,000     28,747  
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     (194,255
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)     (69,684     80,085  
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)     (1,055,749     342,057  
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)     (3,603,111     187,681  
         

 

 

   

 

 

 
  $ (6,406,016   $ 444,315  
         

 

 

   

 

 

 

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        140,060,000        1.00     0.95     N/A        06/20/2024        Quarterly      $ 4,376,875      $ (75,072   $ (4,451,947
                     

 

 

    

 

 

   

 

 

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 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%       7.08%       N/A       12/20/2020       Quarterly       7,730,397       208,064       (7,522,333

Republic of South Africa

  CITI   USD     26,200,000       1.00%       1.23%       N/A       12/20/2022       Quarterly       659,930       123,499       (536,431

Republic of South Africa

  GS   USD     9,700,000       1.00%       1.23%       N/A       12/20/2022       Quarterly       152,652       45,723       (106,929

Petrobras Global Finance BV

  CITI   USD     37,000,000       1.00%       1.55%       N/A       06/20/2024       Quarterly       1,923,458       708,277       (1,215,181

Commonwealth of Bahamas

  DB   EUR     44,558,436       1.00%       5.95%       N/A       06/20/2025       Quarterly       6,171,081       5,800,961       (370,120

Republic of South Africa

  GS   USD     41,800,000       1.00%       2.29%       N/A       12/20/2025       Quarterly       4,006,975       2,579,274       (1,427,701

Republic of Turkey

  CITI   USD     15,000,000       1.00%       3.83%       N/A       12/20/2025       Quarterly       2,748,570       1,923,352       (825,218

Republic of Turkey

  GS   USD     12,000,000       1.00%       3.83%       N/A       12/20/2025       Quarterly       2,223,997       1,538,682       (685,315

Republic of Turkey

  GS   USD     5,000,000       1.00%       3.83%       N/A       12/20/2025       Quarterly       947,400       641,117       (306,283

United States of Mexico

  GS   USD     20,000,000       1.00%       1.39%       N/A       06/20/2029       Quarterly       1,589,641       633,225       (956,416

United States of Mexico

  GS   USD     20,000,000       1.00%       1.55%       N/A       09/20/2031       Quarterly       2,640,655       1,066,765       (1,573,890

Sell Protection^:

 

Commonwealth of Bahamas

  DB   USD     61,270,000       1.00%       7.07%       61,270,000 USD     12/20/2020       Quarterly       (7,515,364     (206,219     7,309,145  

Commonwealth of Bahamas

  DB   USD     3,487,000       1.00%       6.16%       3,487,000 USD       06/20/2023       Quarterly       (641,463     (415,337     226,126  

Commonwealth of Bahamas

  DB   USD     6,975,000       1.00%       6.16%       6,975,000 USD       06/20/2023       Quarterly       (1,263,915     (830,794     433,121  

Commonwealth of Bahamas

  DB   USD     59,796,571       1.00%       5.94%       59,796,571 USD       06/20/2025       Quarterly       (6,983,424     (6,421,255     562,169  

Republic of Malaysia

  CITI   USD     17,200,000       1.00%       0.62%       17,200,000 USD       12/20/2028       Quarterly       (845,599     514,482       1,360,081  
                 

 

 

   

 

 

   

 

 

 
  $ 13,544,991     $ 7,909,816     $ (5,635,175
                 

 

 

   

 

 

   

 

 

 

 

^

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 November 30, 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) ($)
 

0.53%

   6 Month EURIBOR      EUR        30,000,000        01/24/2050        Semi-Annual        (29,167     (5,706,889     (5,677,722

0.18%

   GBP - SONIA - COMPOUND      GBP        6,410,000        04/22/2050        Annually        7,914       535,304       527,390  
                 

 

 

   

 

 

   

 

 

 
                  $ (21,253   $ (5,171,585   $ (5,150,332
                 

 

 

   

 

 

   

 

 

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

As of November 30, 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)

Investment valued using significant unobservable inputs.

 

(d)

All or a portion of this security has been pledged to cover collateral requirements on reverse repurchase agreements.

 

(e)

Security is in default.

 

(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)

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

 

(h)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 

(i)

Reverse repurchase agreements have an open maturity date and can be closed by either party on demand.

The rates shown on variable rate notes are the current interest rates at November 30, 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.

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

Counterparty Abbreviations:

 

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

 

 

Currency Abbreviations:

 

CHF - Swiss Franc

COP - Colombian Peso

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)

November 30, 2020 (Unaudited)

 


Par Value†
    Description   Value ($)  

    

    DEBT OBLIGATIONS — 33.6%

 

          Corporate Debt — 33.5%      
    Australia — 0.1%  
    180,000     North Queensland Export Terminal Pty Ltd., 144A, 4.45%, due 12/15/22     170,222  
     

 

 

 
          Canada — 2.3%      
    625,000     Cenovus Energy, Inc., 5.38%, due 07/15/25     689,230  
    1,000,000     Cenovus Energy, Inc., 5.25%, due 06/15/37     1,046,544  
    1,125,000     Methanex Corp., 5.25%, due 12/15/29     1,178,578  
    125,000     Mountain Province Diamonds, Inc., 144A, 8.00%, due 12/15/22     106,406  
    500,000     Quebecor Media, Inc., 5.75%, due 01/15/23     540,500  
    375,000     Taseko Mines Ltd., 144A, 8.75%, due 06/15/22     370,313  
     

 

 

 
    Total Canada     3,931,571  
     

 

 

 
          Germany — 0.6%      
    1,000,000     ZF North America Capital, Inc., 144A, 4.75%, due 04/29/25     1,057,500  
     

 

 

 
          Luxembourg — 1.0%      
    500,000     ArcelorMittal SA, 3.60%, due 07/16/24     531,945  
    875,000     ArcelorMittal SA, 7.25%, due 10/15/39     1,160,486  
     

 

 

 
    Total Luxembourg     1,692,431  
     

 

 

 
          New Zealand — 0.4%      
    750,000     Trilogy International Partners LLC / Trilogy International Finance, Inc., 144A, 8.88%, due 05/01/22     708,750  
     

 

 

 
          Sweden — 0.2%      
    375,000     Telefonaktiebolaget LM Ericsson, 4.13%, due 05/15/22     389,531  
     

 

 

 
          United Kingdom — 1.1%      
    500,000     Avon Products, Inc., 7.00%, due 03/15/23     541,105  
    44,000     Global Ship Lease, Inc., 144A, 9.88%, due 11/15/22     44,990  
    190,000     Jaguar Land Rover Automotive Plc, 144A, 5.63%, due 02/01/23     188,006  
    1,125,000     Rolls-Royce Plc, 144A, 3.63%, due 10/14/25     1,103,906  
     

 

 

 
    Total United Kingdom     1,878,007  
     

 

 

 

Par Value†
    Description   Value ($)  
    Corporate Debt — continued  
    United States — 27.8%  
    125,000     Albertsons Cos, Inc. / Safeway, Inc. / New Albertsons LP / Albertsons LLC, 144A, 3.50%, due 02/15/23     128,188  
    375,000     Ally Financial, Inc., 5.75%, due 11/20/25     437,914  
    1,000,000     Antero Resources Corp., 5.13%, due 12/01/22     950,000  
    1,125,000     Apache Corp., 5.35%, due 07/01/49     1,091,250  
    625,000     Arconic Corp., 144A, 6.00%, due 05/15/25     673,437  
    500,000     Avis Budget Car Rental LLC / Avis Budget Finance, Inc., 144A, 10.50%, due 05/15/25     583,665  
    375,000     Buckeye Partners LP, 4.35%, due 10/15/24     376,875  
    625,000     Carnival Corp., 144A, 11.50%, due 04/01/23     711,719  
    750,000     CCO Holdings LLC / CCO Holdings Capital Corp., 144A, 5.38%, due 06/01/29     819,375  
    625,000     CHS/Community Health Systems, Inc., 6.25%, due 03/31/23     638,281  
    875,000     Cinemark USA, Inc., 5.13%, due 12/15/22     849,297  
    375,000     Cleaver-Brooks, Inc., 144A, 7.88%, due 03/01/23     371,250  
    250,000     Cleveland-Cliffs, Inc., 144A, 9.88%, due 10/17/25     291,563  
    1,375,000     Continental Resources, Inc., 3.80%, due 06/01/24     1,390,826  
    366,000     Crestwood Midstream Partners LP / Crestwood Midstream Finance Corp., 6.25%, due 04/01/23     367,658  
    875,000     CSC Holdings LLC, 6.75%, due 11/15/21     915,333  
    250,000     CSC Holdings LLC, 5.88%, due 09/15/22     265,938  
    1,125,000     Delta Air Lines, Inc., 4.38%, due 04/19/28     1,102,060  
    625,000     DISH DBS Corp., 5.88%, due 07/15/22     656,425  
    125,000     Downstream Development Authority of the Quapaw Tribe of Oklahoma, 144A, 10.50%, due 02/15/23     120,000  
    1,375,000     EQM Midstream Partners LP, 4.75%, due 07/15/23     1,402,500  
    875,000     Fluor Corp., 3.50%, due 12/15/24     855,312  
    1,250,000     Ford Motor Credit Co. LLC, 4.13%, due 08/04/25     1,293,750  
    480,000     Ford Motor Credit Co. LLC, 4.39%, due 01/08/26     499,200  
    2,627,000     Ford Motor Credit Co. LLC, 3.82%, due 11/02/27     2,646,151  
    500,000     Gap, Inc. (The), 144A, 8.38%, due 05/15/23     566,250  
    500,000     Gap, Inc. (The), 144A, 8.88%, due 05/15/27     580,000  
    375,000     Genworth Holdings, Inc., 7.20%, due 02/15/21     374,531  
    625,000     Genworth Mortgage Holdings, Inc., 144A, 6.50%, due 08/15/25     665,625  
    181,000     HC2 Holdings, Inc., 144A, 11.50%, due 12/01/21     177,380  
    250,000     Hillman Group, Inc. (The), 144A, 6.38%, due 07/15/22     248,113  
 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 


Par Value†
    Description   Value ($)  
    Corporate Debt — continued  
    United States — continued  
    250,000     iStar, Inc., REIT, 5.50%, due 02/15/26     250,625  
    500,000     KB Home, 4.80%, due 11/15/29     550,000  
    470,000     Kraft Heinz Foods Co., 3.95%, due 07/15/25     518,401  
    625,000     Kraft Heinz Foods Co., 144A, 3.88%, due 05/15/27     676,204  
    500,000     Kraft Heinz Foods Co., 6.75%, due 03/15/32     667,781  
    625,000     Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp., 144A, REIT, 4.25%, due 02/01/27     577,344  
    696,000     Macy’s Retail Holdings LLC, 3.88%, due 01/15/22     686,865  
    898,000     Macy’s Retail Holdings LLC, 2.88%, due 02/15/23     835,140  
    1,039,000     Michael Kors USA, Inc., 144A, 4.50%, due 11/01/24     1,049,390  
    375,000     Netflix, Inc., 4.38%, due 11/15/26     415,781  
    625,000     Newell Brands, Inc., 4.70%, due 04/01/26     673,325  
    1,075,000     Nordstrom, Inc., 4.00%, due 03/15/27     1,044,700  
    500,000     Nuance Communications, Inc., 5.63%, due 12/15/26     528,305  
    500,000     Occidental Petroleum Corp., 2.90%, due 08/15/24     466,250  
    500,000     Occidental Petroleum Corp., 4.30%, due 08/15/39     412,500  
    2,375,000     Occidental Petroleum Corp., 4.40%, due 08/15/49     1,929,687  
    375,000     OneMain Finance Corp., 6.63%, due 01/15/28     430,312  
    250,000     OneMain Finance Corp., 7.75%, due 10/01/21     261,875  
    375,000     Prime Security Services Borrower LLC / Prime Finance, Inc., 144A, 5.75%, due 04/15/26     406,875  
    1,125,000     QVC, Inc., 5.45%, due 08/15/34     1,130,625  
    625,000     RHP Hotel Properties LP / RHP Finance Corp., REIT, 5.00%, due 04/15/23     621,875  
    375,000     Rockies Express Pipeline LLC, 144A, 3.60%, due 05/15/25     384,375  
    625,000     Royal Caribbean Cruises Ltd., 144A, 10.88%, due 06/01/23     707,031  
    250,000     Royal Caribbean Cruises Ltd., 144A, 11.50%, due 06/01/25     293,594  
    525,000     RR Donnelley & Sons Co., 8.25%, due 07/01/27     551,250  
    625,000     Sealed Air Corp., 144A, 5.25%, due 04/01/23     664,656  
    500,000     Service Properties Trust, REIT, 4.50%, due 03/15/25     475,000  
    1,125,000     Service Properties Trust, REIT, 4.38%, due 02/15/30     1,055,250  
    625,000     Southwestern Energy Co., 6.45%, due 01/23/25     639,062  
Par Value† /
Shares
    Description   Value ($)  
   

Corporate Debt — continued

 
   

United States — continued

 
    1,000,000     Spirit AeroSystems, Inc., 3.85%, due 06/15/26     1,027,700  
    250,000     Sprint Communications, Inc., 11.50%, due 11/15/21     272,813  
    750,000     Sprint Corp., 7.88%, due 09/15/23     864,375  
    625,000     Targa Resources Partners LP / Targa Resources Partners Finance Corp., 5.00%, due 01/15/28     651,562  
    375,000     Toll Brothers Finance Corp., 5.88%, due 02/15/22     389,880  
    250,000     Uniti Group LP / Uniti Group Finance, Inc. / CSL Capital LLC, 144A, REIT, 6.00%, due 04/15/23     255,313  
    625,000     Urban One, Inc., 144A, 8.75%, due 12/15/22     604,687  
    250,000     Vericast Corp., 144A, 8.38%, due 08/15/22     255,313  
    375,000     Veritas US, Inc. / Veritas Bermuda Ltd., 144A, 7.50%, due 02/01/23     377,813  
    375,000     Western Midstream Operating LP, 4.00%, due 07/01/22     381,563  
    500,000     Western Midstream Operating LP, 5.05%, due 02/01/30     534,022  
    1,125,000     Wynn Las Vegas LLC / Wynn Las Vegas Capital Corp., 144A, 4.25%, due 05/30/23     1,130,625  
     

 

 

 
  Total Corporate Debt     47,699,610  
     

 

 

 
      U.S. Government — 0.1%      
    150,000     U.S. Treasury Note, Variable Rate, USBM + 0.15%, 0.24%, due 01/31/22 (a)     150,186  
     

 

 

 
  Total United States     47,849,796  
     

 

 

 
  TOTAL DEBT OBLIGATIONS
(COST $54,173,622)
    57,677,808  
     

 

 

 
          INVESTMENT FUNDS — 50.4%  
          United States — 50.4%      
    1,003,674     iShares iBoxx $ High Yield Corporate Bond ETF     86,637,140  
     

 

 

 
  TOTAL INVESTMENT FUNDS
(COST $84,041,230)
    86,637,140  
     

 

 

 
  SHORT-TERM INVESTMENTS — 14.2%

 

      Foreign Government Obligations — 8.4%  

JPY

    1,500,000,000     Japan Treasury Discount Bill, Zero Coupon, due 01/12/21     14,369,577  
     

 

 

 
      Money Market Funds — 0.2%      
    406,249     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (b)     406,249  
     

 

 

 
 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

Par Value†     Description   Value ($)  
    U.S. Government — 5.6%  
    1,000,000     U.S. Treasury Bill, 0.72%, due 01/14/21 (a)(c)     999,911  
    8,700,000     U.S. Treasury Bill, 0.01%, due 11/04/21 (c)     8,691,015  
     

 

 

 
  Total U.S. Government     9,690,926  
     

 

 

 
  TOTAL SHORT-TERM INVESTMENTS
(COST $24,331,500)
    24,466,752  
     

 

 

 
  TOTAL INVESTMENTS — 98.2%
(Cost $162,546,352)
    168,781,700  
  Other Assets and Liabilities (net) — 1.8%     3,099,857  
     

 

 

 
  TOTAL NET ASSETS — 100.0%     $171,881,557  
     

 

 

 
 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

 

Forward Currency Contracts

 

Settlement
Date
 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation) ($)
 
01/12/2021   DB   JPY     1,500,000,000     USD     14,275,925     $ (105,147
           

 

 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys  
26   U.S. Treasury Note 2 Yr. (CBT)     March 2021       5,742,141       2,228  
48   U.S. Treasury Note 5 Yr. (CBT)     March 2021       6,049,500       7,454  
     

 

 

   

 

 

 
  $ 11,791,641     $ 9,682  
     

 

 

   

 

 

 
Sales  
7   U.S. Long Bond (CBT)     March 2021       1,224,344       (381
13   U.S. Treasury Note 10 Yr. (CBT)     March 2021       1,796,234       (4,278
11   U.S. Ultra Bond (CBT)     March 2021       2,376,344       7,974  
     

 

 

   

 

 

 
  $ 5,396,922     $ 3,315  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

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.


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

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.NA.HYS.35.V1-5Y

  USD     23,712,000       5.00%       3.00%       23,712,000 USD       12/20/2025       Quarterly     $ 851,660     $ 2,133,203     $ 1,281,543  
               

 

 

   

 

 

   

 

 

 

 

^

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 November 30, 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.

As of November 30, 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 November 30, 2020.

 

(c)

The rate shown represents yield-to-maturity.

The rates shown on variable rate notes are the current interest rates at November 30, 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.

ETF - Exchange-Traded Fund

REIT - Real Estate Investment Trust.

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

Counterparty Abbreviations:

DB - Deutsche Bank AG

Currency Abbreviations:

JPY - Japanese Yen

USD - United States Dollar

 


GMO Multi-Sector Fixed Income Fund (formerly Core Plus Bond Fund)

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

Par Value†

    Description   Value ($)  
    DEBT OBLIGATIONS — 57.3%

 

          Brazil — 0.1%  
    Corporate Debt  
    150,000     Suzano Austria GmbH, 3.75%, due 01/15/31     158,100  
     

 

 

 
          Canada — 0.3%  
    Corporate Debt  
    450,000     Bank of Nova Scotia (The), 0.55%, due 09/15/23     451,951  
    350,000     Teck Resources Ltd, 6.25%, due 07/15/41     435,149  
     

 

 

 
    Total Canada     887,100  
     

 

 

 
          Chile — 0.1%  
    Corporate Debt  
    400,000     Enel Americas SA, 4.00%, due 10/25/26     441,250  
     

 

 

 
          Germany — 0.9%  
    Corporate Debt  
    450,000     Deutsche Bank AG, Variable Rate,
3.55%, due 09/18/31
    482,443  
    1,250,000     Deutsche Bank AG, 3.95%, due 02/27/23     1,326,948  
    400,000     Deutsche Bank AG, Variable Rate,
3.96%, due 11/26/25
    433,656  
    400,000     Deutsche Bank AG, 4.25%, due 10/14/21     410,441  
     

 

 

 
    Total Germany     2,653,488  
     

 

 

 
          Japan — 0.1%  
    Corporate Debt  
    400,000     Sumitomo Mitsui Financial Group Inc,
2.85%, due 01/11/22
    410,990  
     

 

 

 
          Switzerland — 0.4%  
    Corporate Debt  
    400,000     Credit Suisse Group AG, 3.75%, due 03/26/25     443,948  
    300,000     Credit Suisse Group AG, 4.88%, due 05/15/45     417,262  
    400,000     Credit Suisse Group Funding Guernsey Ltd,
3.80%, due 09/15/22
    423,173  
     

 

 

 
    Total Switzerland     1,284,383  
     

 

 

 
          United Kingdom — 0.3%  
    Corporate Debt  
    400,000     AstraZeneca Plc, 2.38%, due 06/12/22     411,518  
    400,000     AstraZeneca Plc, 3.13%, due 06/12/27     450,291  
     

 

 

 
    Total United Kingdom     861,809  
     

 

 

 

Par Value†

    Description   Value ($)  
    United States — 55.1%

 

   

Asset-Backed Securities — 20.8%

 

    1,250,000     BAMLL Commercial Mortgage Securities Trust, Series 12-PARK, Class A, 144A, 2.96%, due 12/10/30     1,305,870  
    5,100,000     CGRBS Commercial Mortgage Trust, Series 13-VN05, Class C, 144A, Variable Rate, 3.70%, due 03/13/35     5,383,303  
    31,520,000     Commercial Mortgage Trust, Series 13-WWP, Class A2, 144A, 3.42%, due 03/10/31     33,404,877  
    2,210,000     Commercial Mortgage Trust, Series 13-WWP, Class B, 144A, 3.73%, due 03/10/31     2,355,424  
    6,461,000     Commercial Mortgage Trust, Series 13-WWP, Class C, 144A, 3.54%, due 03/10/31     6,862,796  
    6,310,000     Commercial Mortgage Trust, Series 13-WWP, Class D, 144A, 3.90%, due 03/10/31     6,746,905  
    1,000,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class A, 144A, 3.35%, due 07/13/29     1,009,832  
    490,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class B, 144A, Variable Rate, 3.56%, due 07/13/29     495,021  
    250,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class E, 144A, Variable Rate, 3.56%, due 07/13/29     252,562  
    300,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class F, 144A, Variable Rate, 3.56%, due 07/13/29     303,074  
    375,000     Morgan Stanley Capital I Trust, Series 14-MP, Class A, 144A, 3.47%, due 08/11/33     379,811  
    100,000     Morgan Stanley Capital I Trust, Series 14-MP, Class C, 144A, Variable Rate, 3.82%, due 08/11/33     101,387  
    5,000,000     Morgan Stanley Capital I Trust, Series 14-MP, Class E, 144A, Variable Rate, 3.82%, due 08/11/33     5,069,351  
     

 

 

 
    Total Asset-Backed Securities     63,670,213  
     

 

 

 
         

Corporate Debt — 16.1%

 
    400,000     Abbott Laboratories, 2.55%, due 03/15/22     411,765  
    400,000     Abbott Laboratories, 2.95%, due 03/15/25     438,534  
    350,000     Abbott Laboratories, 3.75%, due 11/30/26     408,411  
    400,000     Ally Financial, Inc., 4.13%, due 02/13/22     416,730  
    400,000     Ally Financial, Inc., 5.13%, due 09/30/24     458,755  
    450,000     Alphabet, Inc., 0.45%, due 08/15/25     449,475  
    450,000     Alphabet, Inc., 0.80%, due 08/15/27     447,870  
    450,000     Amazon.com, Inc., 0.40%, due 06/03/23     451,295  
 


GMO Multi-Sector Fixed Income Fund (formerly Core Plus Bond Fund)

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

Par Value†

    Description   Value ($)  
   

United States — continued

 
   

Corporate Debt — continued

 
    450,000     Amazon.com, Inc., 0.80%, due 06/03/25     456,143  
    400,000     Amazon.com, Inc., 3.30%, due 12/05/21     410,204  
    300,000     Amgen, Inc., 5.15%, due 11/15/41     416,637  
    450,000     Apple, Inc., 0.75%, due 05/11/23     455,357  
    400,000     Apple, Inc., 2.15%, due 02/09/22     409,099  
    400,000     Apple, Inc., 2.50%, due 02/09/22     410,011  
    100,000     Apple, Inc., 4.65%, due 02/23/46     143,871  
    400,000     Arrow Electronics, Inc., 3.88%, due 01/12/28     451,371  
    400,000     Bank of America Corp., Variable Rate,
2.83%, due 10/24/51
    419,699  
    300,000     Bank of America Corp., Variable Rate,
4.33%, due 03/15/50
    395,812  
    350,000     Boeing Co. (The), 5.04%, due 05/01/27     400,891  
    200,000     Boeing Co. (The), 5.71%, due 05/01/40     252,464  
    350,000     Bunge Ltd. Finance Corp., 3.25%, due 08/15/26     384,122  
    400,000     Bunge Ltd. Finance Corp., 3.75%, due 09/25/27     445,616  
    400,000     Bunge Ltd. Finance Corp., 4.35%, due 03/15/24     441,221  
    450,000     Caterpillar Financial Services Corp.,
0.45%, due 09/14/23
    450,955  
    400,000     Caterpillar Financial Services Corp.,
1.90%, due 09/06/22
    411,270  
    400,000     Caterpillar, Inc., 3.25%, due 09/19/49     473,921  
    300,000     Caterpillar, Inc., 4.75%, due 05/15/64     452,054  
    400,000     Cheniere Corpus Christi Holdings LLC,
5.13%, due 06/30/27
    463,898  
    350,000     Cheniere Corpus Christi Holdings LLC,
5.88%, due 03/31/25
    401,014  
    350,000     Cheniere Corpus Christi Holdings LLC,
7.00%, due 06/30/24
    403,588  
    400,000     Coca-Cola Co. (The), 2.95%, due 03/25/25     439,919  
    350,000     Conagra Brands, Inc., 5.30%, due 11/01/38     469,171  
    350,000     Corning, Inc., 5.45%, due 11/15/79     486,389  
    400,000     Crown Castle International Corp., REIT,
5.25%, due 01/15/23
    438,823  
    350,000     Deere & Co., 3.75%, due 04/15/50     456,854  
    400,000     DH Europe Finance II Sarl, 2.60%, due 11/15/29     440,760  
    400,000     DH Europe Finance II Sarl, 3.25%, due 11/15/39     461,084  
    400,000     DH Europe Finance II Sarl, 3.40%, due 11/15/49     476,423  
    200,000     Discover Bank, 2.45%, due 09/12/24     211,367  
    450,000     DuPont de Nemours, Inc., 2.17%, due 05/01/23     457,383  
    350,000     DuPont de Nemours, Inc., 5.32%, due 11/15/38     477,088  
    300,000     DuPont de Nemours, Inc., 5.42%, due 11/15/48     432,214  

Par Value†

    Description   Value ($)  
   

United States — continued

 
   

Corporate Debt — continued

 
    450,000     Enable Midstream Partners LP, 4.40%, due 03/15/27     435,785  
    450,000     Enable Midstream Partners LP, 4.95%, due 05/15/28     443,116  
    450,000     Equinix, Inc., REIT, 1.00%, due 09/15/25     450,685  
    400,000     Estee Lauder Cos, Inc. (The), 2.60%, due 04/15/30     443,739  
    450,000     Expedia Group, Inc., 3.25%, due 02/15/30     456,072  
    450,000     Expedia Group, Inc., 3.80%, due 02/15/28     472,169  
    400,000     Expedia Group, Inc., 5.00%, due 02/15/26     436,743  
    400,000     FedEx Corp., 4.10%, due 04/15/43     473,253  
    350,000     FedEx Corp., 5.10%, due 01/15/44     471,902  
    300,000     FedEx Corp., 5.25%, due 05/15/50     427,281  
    350,000     Fortive Corp., 4.30%, due 06/15/46     423,439  
    400,000     GLP Capital LP / GLP Financing II, Inc., REIT, 4.00%, due 01/15/31     432,440  
    250,000     Halliburton Co., 2.92%, due 03/01/30     255,959  
    400,000     Halliburton Co., 4.85%, due 11/15/35     453,996  
    300,000     Halliburton Co., 5.00%, due 11/15/45     337,934  
    400,000     Home Depot, Inc. (The), 2.50%, due 04/15/27     437,000  
    300,000     Home Depot, Inc. (The), 5.40%, due 09/15/40     441,362  
    350,000     International Paper Co., 4.80%, due 06/15/44     462,592  
    400,000     John Deere Capital Corp., 2.65%, due 01/06/22     410,322  
    400,000     John Deere Capital Corp., 3.20%, due 01/10/22     412,843  
    350,000     Johnson & Johnson, 3.63%, due 03/03/37     430,679  
    350,000     JPMorgan Chase & Co., Variable Rate,
3.11%, due 04/22/51
    391,529  
    400,000     Linde Inc., 2.45%, due 02/15/22     408,042  
    400,000     Marathon Petroleum Corp., 4.75%, due 09/15/44     446,212  
    350,000     Marathon Petroleum Corp., 6.50%, due 03/01/41     444,456  
    450,000     Marriott International Inc/MD, 3.50%, due 10/15/32     488,849  
    400,000     Marriott International Inc/MD, 4.63%, due 06/15/30     461,843  
    400,000     Marriott International Inc/MD, 5.75%, due 05/01/25     463,678  
    300,000     Morgan Stanley, Variable Rate, 5.60%, due 03/24/51     484,232  
    300,000     Morgan Stanley, 6.38%, due 07/24/42     491,378  
    350,000     Mosaic Co. (The), 5.45%, due 11/15/33     432,260  
    350,000     Mosaic Co. (The), 5.63%, due 11/15/43     440,612  
    400,000     MPLX LP, 5.25%, due 01/15/25     410,987  
 


GMO Multi-Sector Fixed Income Fund (formerly Core Plus Bond Fund)

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

Par Value†

    Description   Value ($)  
   

United States — continued

 
   

Corporate Debt — continued

 
    400,000     NextEra Energy Capital Holdings, Inc., Variable Rate, 4.80%, due 12/01/77     439,531  
    350,000     NextEra Energy Capital Holdings, Inc., Variable Rate, 5.65%, due 05/01/79     410,640  
    350,000     NIKE, Inc., 3.38%, due 03/27/50     422,339  
    350,000     ONEOK, Inc., 6.35%, due 01/15/31     433,877  
    350,000     PacifiCorp, 4.15%, due 02/15/50     457,068  
    400,000     Procter & Gamble Co. (The), 1.70%, due 11/03/21     405,518  
    400,000     Procter & Gamble Co. (The), 2.30%, due 02/06/22     409,843  
    400,000     Procter & Gamble Co. (The), 3.10%, due 08/15/23     430,493  
    400,000     Sabine Pass Liquefaction LLC, 5.00%, due 03/15/27     462,999  
    400,000     Sherwin-Williams Co. (The), 3.80%, due 08/15/49     482,390  
    350,000     Sherwin-Williams Co. (The), 4.50%, due 06/01/47     465,115  
    400,000     Starbucks Corp., 3.50%, due 11/15/50     458,145  
    350,000     Starbucks Corp., 4.45%, due 08/15/49     454,334  
    150,000     Synchrony Bank, 3.00%, due 06/15/22     155,014  
    400,000     Synchrony Financial, 2.85%, due 07/25/22     413,175  
    400,000     Synchrony Financial, 4.38%, due 03/19/24     439,556  
    350,000     Synchrony Financial, 5.15%, due 03/19/29     418,951  
    350,000     Sysco Corp., 5.95%, due 04/01/30     462,127  
    300,000     Sysco Corp., 6.60%, due 04/01/40     442,726  
    300,000     Sysco Corp., 6.60%, due 04/01/50     465,221  
    400,000     Thermo Fisher Scientific, Inc., 4.13%, due 03/25/25     454,729  
    400,000     Thermo Fisher Scientific, Inc., 4.15%, due 02/01/24     441,731  
    350,000     Thermo Fisher Scientific, Inc., 4.50%, due 03/25/30     438,935  
    350,000     Union Pacific Corp., 4.10%, due 09/15/67     437,119  
    350,000     Union Pacific Corp., 4.38%, due 11/15/65     457,036  
    400,000     United Parcel Service, Inc., 2.35%, due 05/16/22     410,369  
    400,000     United Parcel Service, Inc., 3.90%, due 04/01/25     451,752  
    300,000     United Parcel Service, Inc., 5.20%, due 04/01/40     429,268  
    400,000     Verizon Communications, Inc., 3.38%, due 02/15/25     444,208  
    350,000     Verizon Communications, Inc., 3.88%, due 02/08/29     411,854  
    350,000     Verizon Communications, Inc., 4.33%, due 09/21/28     424,591  
    400,000     VMware, Inc., 4.50%, due 05/15/25     454,359  

Par Value†

    Description   Value ($)  
   

United States — continued

 
   

Corporate Debt — continued

 
    350,000     VMware, Inc., 4.65%, due 05/15/27     409,125  
    350,000     VMware, Inc., 4.70%, due 05/15/30     426,757  
    400,000     Walt Disney Co. (The), 1.75%, due 01/13/26     416,091  
    400,000     Walt Disney Co. (The), 2.20%, due 01/13/28     424,748  
    400,000     Walt Disney Co. (The), 2.65%, due 01/13/31     435,224  
    400,000     Williams Cos, Inc. (The), 5.10%, due 09/15/45     480,577  
    400,000     Williams Cos, Inc. (The), 5.40%, due 03/04/44     480,700  
    350,000     Williams Cos, Inc. (The), 5.75%, due 06/24/44     439,855  
     

 

 

 
        49,351,007  
     

 

 

 
    U.S. Government — 2.2%

 

    4,750,000     U.S. Treasury Bond, 3.38%, due 05/15/44 (a)     6,578,379  
     

 

 

 
      U.S. Government Agency — 16.0%  
    15,300,000     Federal National Mortgage Association, TBA, 3.50%, due 12/14/50     16,139,707  
    6,500,000     Federal National Mortgage Association, TBA, 2.50%, due 12/16/35     6,758,984  
    16,600,000     Federal National Mortgage Association, TBA, 3.00%, due 12/14/50     17,341,488  
    7,300,000     Federal National Mortgage Association, TBA, 4.00%, due 12/14/50     7,787,760  
    900,000     Government National Mortgage Association, TBA, 3.50%, due 12/21/50     950,274  
     

 

 

 
        48,978,213  
     

 

 

 
    Total United States     168,577,812  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $170,538,976)
    175,274,932  
     

 

 

 
    INVESTMENT FUNDS — 3.4%

 

          United States — 3.4%  
    74,912     iShares iBoxx $ Investment Grade Corporate Bond ETF     10,373,814  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $9,075,896)
    10,373,814  
     

 

 

 
    MUTUAL FUNDS — 27.7%

 

          United States — 27.7%  
    Affiliated Issuers  
    627,123     GMO Emerging Country Debt Fund, Class IV     17,214,514  
    2,523,430     GMO Opportunistic Income Fund, Class VI     66,012,920  
    312,590     GMO U.S. Treasury Fund     1,575,452  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $86,489,092)
    84,802,886  
     

 

 

 
 


GMO Multi-Sector Fixed Income Fund (formerly Core Plus Bond Fund)

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

Par Value†

    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 25.4%  
          Foreign Government Obligations — 24.2%  

JPY

    3,300,000,000     Japan Treasury Discount Bill, Zero Coupon, due 01/06/21     31,612,560  

JPY

    4,444,000,000     Japan Treasury Discount Bill, Zero Coupon, due 12/14/20     42,568,715  
     

 

 

 
    Total Foreign Government Obligations     74,181,275  
     

 

 

 

Shares

    Description   Value ($)  
          Money Market Funds — 1.2%      
    3,565,840     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (b)     3,565,840  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $76,948,709)
    77,747,115  
     

 

 

 
    TOTAL INVESTMENTS — 113.8%
(Cost $343,052,673)
    348,198,747  
    Other Assets and Liabilities
(net) — (13.8%)
    (42,111,804
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $306,086,943  
     

 

 

 
 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date
 

Counter-

party

 

Currency
Sold

 

Currency
Purchased

 

Net

Unrealized
Appreciation
(Depreciation)
($)

02/08/2021   BCLY   AUD   30,421,000   USD   21,916,110   (428,528)
02/08/2021   DB   AUD   520,000   USD   371,219   (10,728)
02/02/2021   CITI   BRL   2,661,043   USD   490,000   (6,148)
01/13/2021   BOA   CHF   1,022,103   USD   1,120,000   (6,627)
01/13/2021   JPM   CHF   4,090,809   USD   4,510,000   850 
01/13/2021   MSCI   CHF   15,226,182   USD   16,608,870   (174,393)
12/02/2020   MSCI   CLP   447,115,000   USD   582,720   (4,123)
02/03/2021   MSCI   COP   8,001,071,500   USD   2,089,053   (129,889)
02/16/2021   CITI   CZK   19,986,000   USD   892,631   (16,439)
01/27/2021   BOA   EUR   1,920,000   USD   2,273,800   (20,291)
01/13/2021   MSCI   GBP   2,370,000   USD   3,132,323   (29,333)
01/13/2021   MSCI   HUF   665,626,307   USD   2,184,082   (29,280)
02/16/2021   CITI   IDR   3,979,472,000   USD   280,000   812 
02/16/2021   JPM   IDR   5,971,410,000   USD   410,000   (8,936)
01/29/2021   BOA   ILS   1,435,832   USD   430,000   (4,240)
01/22/2021   BCLY   INR   26,829,000   USD   360,000   (536)
01/22/2021   JPM   INR   23,329,980   USD   310,000   (3,515)
12/14/2020   CITI   JPY   1,900,000,000   USD   18,153,729   (49,503)
12/14/2020   SSB   JPY   2,750,000,000   USD   25,934,591   (412,193)
01/06/2021   MSCI   JPY   3,300,000,000   USD   31,336,618   (299,333)
02/09/2021   BOA   JPY   110,252,826   USD   1,060,000   2,596 
02/09/2021   JPM   JPY   119,377,326   USD   1,150,000   5,086 
01/20/2021   JPM   NOK   30,858,715   USD   3,350,515   (119,197)
02/05/2021   BCLY   NZD   760,000   USD   507,428   (25,530)
02/05/2021   JPM   NZD   6,810,000   USD   4,629,684   (145,895)
02/05/2021   MSCI   NZD   16,520,000   USD   10,995,795   (589,018)
02/02/2021   MSCI   PEN   2,440,620   USD   674,288   (2,609)
12/03/2020   JPM   PHP   7,263,750   USD   150,000   (1,045)
12/03/2020   MSCI   PHP   19,059,830   USD   393,717   (2,620)
01/25/2021   JPM   PHP   26,323,580   USD   545,002   (834)
02/16/2021   DB   PLN   1,685,679   USD   450,000   653
02/26/2021   BOA   RON   655,962   USD   159,177   (613)
02/16/2021   BCLY   RUB   66,255,861   USD   850,000   (11,505)
02/16/2021   MSCI   RUB   18,694,608   USD   240,000   (3,080)
Settlement
Date
 

Counter-

party

 

Currency
Sold

 

Currency
Purchased

 

Net

Unrealized
Appreciation
(Depreciation)
($)

02/05/2021   BCLY   SEK   16,486,224   USD   1,900,000   (24,687)
02/05/2021   JPM   SEK   32,605,774   USD   3,780,000   (26,567)
01/15/2021   BCLY   SGD   334,453   USD   250,000   617 
12/07/2020   BCLY   TWD   10,249,920   USD   360,000   912 
12/07/2020   CITI   TWD   6,568,616   USD   230,000   (120)
12/07/2020   JPM   TWD   7,671,780   USD   270,000   1,232 
12/07/2020   MSCI   TWD   11,953,664   USD   418,692   (84)
02/08/2021   BOA   USD   1,086,732   AUD   1,520,000   29,729 
02/02/2021   JPM   USD   772,008   BRL   4,433,410   54,596 
02/03/2021   JPM   USD   11,361,219   CAD   15,108,433   276,645 
02/03/2021   MSCI   USD   11,363,740   CAD   15,108,433   274,124 
12/02/2020   MSCI   USD   1,264,206   CLP   968,330,000   6,735 
02/26/2021   MSCI   USD   1,252,529   CLP   968,330,000   20,772 
02/03/2021   MSCI   USD   680,000   COP   2,470,040,000   5,018 
02/16/2021   BOA   USD   330,000   CZK   7,344,708   4,076 
02/16/2021   CITI   USD   180,000   CZK   3,990,942   1,529 
02/16/2021   DB   USD   290,000   CZK   6,338,417   (1,695)
01/27/2021   DB   USD   14,333,929   EUR   12,069,000   86,584 
01/27/2021   JPM   USD   7,290,687   EUR   6,130,000   33,677 
01/13/2021   MSCI   USD   6,081,241   GBP   4,701,000   190,045 
01/13/2021   BOA   USD   380,000   HUF   115,173,858   2,980 
02/16/2021   JPM   USD   1,069,416   IDR   15,910,771,000   46,836 
01/29/2021   MSCI   USD   1,196,220   ILS   4,053,751   29,759 
01/22/2021   JPM   USD   224,364   INR   16,646,720   (661)
12/14/2020   BOA   USD   1,977,685   JPY   206,000,000   (4,071)
02/09/2021   BOA   USD   3,060,000   JPY   320,535,171   14,163 
02/09/2021   MSCI   USD   14,009,989   JPY   1,452,100,352   (83,303)
02/19/2021   MSCI   USD   1,829,558   KRW   2,023,930,420   (4,589)
01/21/2021   BOA   USD   420,000   MXN   8,786,941   12,497
01/21/2021   CITI   USD   320,000   MXN   6,823,206   15,842
01/21/2021   GS   USD   400,000   MXN   8,568,955   21,768
01/21/2021   MSCI   USD   728,069   MXN   15,518,237   35,746
01/20/2021   JPM   USD   3,010,000   NOK   27,738,751   108,907
02/05/2021   JPM   USD   5,470,649   NZD   8,140,000   237,606
 


GMO Multi-Sector Fixed Income Fund (formerly Core Plus Bond Fund)

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Settle
ment
Date
 

Counter-
party

  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation) ($)
 
02/02/2021   MSCI     USD       810,000       PEN       2,907,240       (3,688
12/03/2020   JPM     USD       546,132       PHP       26,323,580       1,249  
02/16/2021   MSCI     USD       656,504       PLN       2,490,431       7,364  
02/16/2021   BCLY     USD       102,078       RUB       7,957,729       1,394  
02/05/2021   BCLY     USD       20,005,651       SEK       178,044,288       780,162  
02/05/2021   JPM     USD       1,490,000       SEK       13,403,256       74,766  
01/15/2021   GS     USD       310,000       SGD       420,930       3,865  
01/15/2021   MSCI     USD       310,000       SGD       420,062       3,218  
01/15/2021   BOA     USD       720,000       THB       22,482,410       23,074  
02/16/2021   BCLY     USD       1,800,000       TRY       14,349,060       (16,667
12/07/2020   JPM     USD       1,264,801       TWD       36,443,980       11,951  
02/02/2021   MSCI     USD       422,391       TWD       11,953,664       (149
01/29/2021   DB     USD       500,000       ZAR       8,218,053       26,717  
01/29/2021   MSCI     USD       1,284,819       ZAR       21,211,465       74,679  
           

 

 

 
            $ (171,431
 

 

 

 

Futures Contracts

 

Number of
Contracts +

 

Type

 

Expiration
Date

  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
21   U.S. Long Bond (CBT)   March 2021     3,673,031       4,699  
74   U.S. Treasury Note 10 Yr. (CBT)   March 2021     10,224,719       16,504  
410   U.S. Treasury Note 5 Yr. (CBT)   March 2021     51,672,813       60,608  
83   U.S. Treasury Ultra 10 Yr. (CBT)   March 2021     13,041,375       25,774  
97   U.S. Ultra Bond (CBT)   March 2021     20,955,031       (74,992
     

 

 

   

 

 

 
      $ 99,566,969     $ 32,593  
     

 

 

   

 

 

 

 

+

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) ($)
 

3 Month AUD BBSW

   0.15%   AUD      12,290,000        12/16/2022      Quarterly      1,511       12,436       10,925  

3 Month AUD BBSW

   0.10%   AUD      16,280,000        12/16/2022      Quarterly      (871     4,530       5,401  

0.07%

   3 Month AUD BBSW   AUD      19,300,000        12/16/2022      Quarterly            2,417       2,417  

(0.67)%

   6 Month CHF LIBOR   CHF      15,000,000        12/16/2022      Semi-Annually      3,637       (11,577     (15,214

6 Month CHF LIBOR

   (0.72)%   CHF      11,120,000        12/16/2022      Semi-Annually      (106     (1,570     (1,464

0.18%

   3 Month NZD Bank Bill Rate   NZD      98,530,000        12/16/2022      Quarterly      18,659       90,986       72,327  

(0.05)%

   3 Month SEK STIBOR   SEK      68,830,000        12/16/2022      Annually      617       1,019       402  

3 Month SEK STIBOR

   (0.04)%   SEK      72,100,000        12/16/2022      Quarterly      187       616       429  

3 Month SEK STIBOR

   (0.03)%   SEK      72,900,000        12/16/2022      Quarterly            1,048       1,048  

0.55%

   3 Month CAD LIBOR   CAD      10,330,000        12/19/2022      Semi-Annually            365       365  

0.56%

   3 Month CAD LIBOR   CAD      29,750,000        12/19/2022      Semi-Annually      3,747       (3,549     (7,296

0.55%

   3 Month CAD LIBOR   CAD      6,450,000        12/19/2022      Semi-Annually            (71     (71

6 Month EURIBOR

   (0.48)%   EUR      10,320,000        12/21/2022      Semi-Annually      1,753       9,714       7,961  

6 Month GBP LIBOR

   0.08%   GBP      46,790,000        12/21/2022      Semi-Annually      18,659       (11,350     (30,009

3 Month USD LIBOR

   0.24%   USD      10,940,000        12/21/2022      Quarterly      (4,354     1,753       6,107  

3 Month USD LIBOR

   0.23%   USD      4,480,000        12/21/2022      Quarterly      27       (634     (661

0.87%

   6 Month AUD BBSW   AUD      2,550,000        12/16/2030      Semi-Annually      (2,003     4,375       6,378  

0.76%

   6 Month AUD BBSW   AUD      3,380,000        12/16/2030      Semi-Annually      2,011       31,977       29,966  

0.77%

   6 Month AUD BBSW   AUD      660,000        12/16/2030      Semi-Annually            5,676       5,676  

0.88%

   6 Month AUD BBSW   AUD      2,000,000        12/16/2030      Semi-Annually            2,714       2,714  

6 Month AUD BBSW

   0.79%   AUD      7,660,000        12/16/2030      Semi-Annually      795       (59,284     (60,079

0.93%

   6 Month AUD BBSW   AUD      2,430,000        12/16/2030      Semi-Annually            (5,851     (5,851

6 Month AUD BBSW

   0.89%   AUD      4,030,000        12/16/2030      Semi-Annually            (266     (266

3 Month CAD LIBOR

   1.28%   CAD      14,880,000        12/16/2030      Semi-Annually      (4,066     88,255       92,321  

3 Month CAD LIBOR

   1.23%   CAD      3,680,000        12/16/2030      Semi-Annually      4,101       8,142       4,041  

3 Month CAD LIBOR

   1.20%   CAD      32,350,000        12/16/2030      Semi-Annually      (51,130     (602     50,528  

3 Month CAD LIBOR

   1.11%   CAD      3,920,000        12/16/2030      Semi-Annually      (1,119     (25,145     (24,026

3 Month CAD LIBOR

   1.09%   CAD      6,780,000        12/16/2030      Semi-Annually            (54,080     (54,080

3 Month CAD LIBOR

   1.09%   CAD      1,240,000        12/16/2030      Semi-Annually            (10,075     (10,075

3 Month CAD LIBOR

   1.11%   CAD      2,430,000        12/16/2030      Semi-Annually            (16,310     (16,310

3 Month CAD LIBOR

   1.13%   CAD      3,640,000        12/16/2030      Semi-Annually            (19,018     (19,018

3 Month CAD LIBOR

   1.15%   CAD      920,000        12/16/2030      Semi-Annually            (3,438     (3,438

6 Month CHF LIBOR

   (0.26)%   CHF      2,500,000        12/16/2030      Semi-Annually      (3,627     10,215       13,842  

(0.32)%

   6 Month CHF LIBOR   CHF      1,720,000        12/16/2030      Semi-Annually            5,631       5,631  


GMO Multi-Sector Fixed Income Fund (formerly Core Plus Bond Fund)

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Swap Contracts — continued

Centrally Cleared Interest Rate Swaps — continued

 

Fund Pays

   Fund Receives  

Notional

Amount

     Expiration
Date
    

Periodic
Payment
Frequency

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

6 Month CHF LIBOR

   (0.30)%   CHF      29,480,000        12/16/2030      Semi-Annually      (20,762     (29,752     (8,990

(0.27)%

   6 Month CHF LIBOR   CHF      4,990,000        12/16/2030      Semi-Annually            (14,739     (14,739

(0.29)%

   6 Month CHF LIBOR   CHF      2,480,000        12/16/2030      Semi-Annually            (1,709     (1,709

0.59%

   3 Month NZD Bank Bill Rate   NZD      20,780,000        12/16/2030      Quarterly      (9,197     424,376       433,573  

0.85%

   3 Month NZD Bank Bill Rate   NZD      1,790,000        12/16/2030      Quarterly            4,939       4,939  

3 Month NZD Bank Bill Rate

   0.55%   NZD      10,900,000        12/16/2030      Quarterly      20,209       (246,391     (266,600

3 Month NZD Bank Bill Rate

   0.46%   NZD      5,680,000        12/16/2030      Quarterly      (2,867     (166,743     (163,876

3 Month NZD Bank Bill Rate

   0.48%   NZD      9,000,000        12/16/2030      Quarterly      225       (251,930     (252,155

3 Month NZD Bank Bill Rate

   0.74%   NZD      1,820,000        12/16/2030      Quarterly            (18,364     (18,364

3 Month NZD Bank Bill Rate

   0.81%   NZD      1,790,000        12/16/2030      Quarterly      300       (9,822     (10,122

3 Month NZD Bank Bill Rate

   0.78%   NZD      21,540,000        12/16/2030      Quarterly      (38,884     (154,915     (116,031

3 Month NZD Bank Bill Rate

   0.82%   NZD      13,470,000        12/16/2030      Quarterly      (1,235     (56,916     (55,681

3 Month NZD Bank Bill Rate

   0.86%   NZD      16,150,000        12/16/2030      Quarterly      (2,023     (28,039     (26,016

3 Month SEK STIBOR

   0.34%   SEK      131,230,000        12/16/2030      Quarterly      (34,490     (15,795     18,695  

0.30%

   3 Month SEK STIBOR   SEK      18,400,000        12/16/2030      Quarterly            10,304       10,304  

0.31%

   3 Month SEK STIBOR   SEK      23,500,000        12/16/2030      Quarterly            9,897       9,897  

3 Month SEK STIBOR

   0.30%   SEK      11,700,000        12/16/2030      Quarterly            (5,807     (5,807

0.37%

   3 Month SEK STIBOR   SEK      23,000,000        12/16/2030      Quarterly      127       (5,214     (5,341

0.39%

   3 Month SEK STIBOR   SEK      18,810,000        12/16/2030      Quarterly            (9,922     (9,922

0.39%

   3 Month SEK STIBOR   SEK      14,800,000        12/16/2030      Quarterly            (7,636     (7,636

(0.18)%

   6 Month EURIBOR   EUR      37,450,000        12/18/2030      Semi-Annually      26,479       (328,975     (355,454

(0.21)%

   6 Month EURIBOR   EUR      24,050,000        12/18/2030      Semi-Annually      (5,926     (137,468     (131,542

(0.18)%

   6 Month EURIBOR   EUR      2,060,000        12/18/2030      Semi-Annually      (6,515     (19,360     (12,845

0.45%

   6 Month GBP LIBOR   GBP      10,740,000        12/18/2030      Semi-Annually      (4,081     41,442       45,523  

0.36%

   6 Month GBP LIBOR   GBP      1,370,000        12/18/2030      Semi-Annually      (120     21,633       21,753  

6 Month GBP LIBOR

   0.54%   GBP      2,560,000        12/18/2030      Semi-Annually      4,509       18,971       14,462  

6 Month GBP LIBOR

   0.53%   GBP      2,490,000        12/18/2030      Semi-Annually      3,648       16,140       12,492  

0.70%

   3 Month USD LIBOR   USD      6,960,000        12/18/2030      Quarterly      9,119       103,184       94,065  

0.88%

   3 Month USD LIBOR   USD      27,730,000        12/18/2030      Quarterly      (102,086     (80,502     21,584  

3 Month USD LIBOR

   0.82%   USD      2,590,000        12/18/2030      Quarterly      (2,484     (7,956     (5,472

3 Month USD LIBOR

   0.75%   USD      1,270,000        12/18/2030      Quarterly      315       (12,608     (12,923

0.86%

   3 Month USD LIBOR   USD      1,530,000        12/18/2030      Quarterly            (995     (995

0.85%

   3 Month USD LIBOR   USD      1,530,000        12/18/2030      Quarterly            (21     (21

0.85%

   3 Month USD LIBOR   USD      3,150,000        12/18/2030      Quarterly            (198     (198

0.86%

   3 Month USD LIBOR   USD      3,120,000        12/18/2030      Quarterly            (3,710     (3,710

0.88%

   3 Month USD LIBOR   USD      3,370,000        12/18/2030      Quarterly            (8,958     (8,958
                

 

 

   

 

 

   

 

 

 
                 $ (177,311   $ (914,510   $ (737,199
                

 

 

   

 

 

   

 

 

 

As of November 30, 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 Multi-Sector Fixed Income Fund (formerly Core Plus Bond Fund)

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

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 November 30, 2020.

The rates shown on variable rate notes are the current interest rates at November 30, 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.

REIT - Real Estate Investment Trust

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

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

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 Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
    DEBT OBLIGATIONS — 85.1%  
          Asset-Backed Securities — 83.6%      
    Auto Retail Subprime — 0.0%  
    77,526     CPS Auto Receivables Trust, Series 15-C, Class D, 144A, 4.63%, due 08/16/21     77,649  
     

 

 

 
          CMBS Collateralized Debt Obligations — 0.7%  
    477,732     ARCap 2005-1 Resecuritization Trust, Series 05-1A, Class A, 144A, 5.45%, due 12/21/42     473,575  
    8,586,000     ARCap 2005-1 Resecuritization Trust, Series 05-1A, Class B, 144A, 5.55%, due 12/21/42     3,477,330  
    336,463     Capitalsource Real Estate Loan Trust, Series 06-1A, Class B, 144A, Variable Rate, 3 mo. LIBOR + 0.39%, 0.66%, due 01/20/37 (a)     331,416  
    1,623,909     GS Mortgage Securities Corp., Series 06-CC1, Class A, 144A, Variable Rate, 5.33%, due 03/21/46     1,509,435  
     

 

 

 
    Total CMBS Collateralized Debt Obligations     5,791,756  
     

 

 

 
          Collateralized Loan Obligations — 15.8%      
    3,753,372     ACIS CLO Ltd., Series 15-6A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 1.59%, 1.80%, due 05/01/27     3,753,879  
    1,905,000     Apex Credit CLO II Ltd., Series 15-2A, Class CR, 144A, Variable Rate, 3 mo. LIBOR + 1.90%, 2.12%, due 10/17/26     1,815,305  
    4,222,400     Catamaran CLO Ltd., Series 13-1A, Class CR, 144A, Variable Rate, 3 mo. LIBOR + 1.80%, 2.02%, due 01/27/28     4,096,138  
    6,093,000     Crestline Denali CLO XVI Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.12%, 1.34%, due 01/20/30     6,043,957  
    4,161,000     ECP CLO Ltd., Series 18-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.14%, 1.36%, due 04/22/30     4,112,320  
    1,259,600     Garrison BSL CLO Ltd., Series 18-1A, Class B, 144A, Variable Rate, 3 mo. LIBOR + 1.65%, 1.87%, due 07/17/28     1,237,901  
    6,223,860     Garrison BSL CLO Ltd., Series 18-1A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 0.97%, 1.19%, due 07/17/28     6,198,044  
    2,316,435     Halcyon Loan Advisors Funding Ltd., Series 12-1A, Class B, 144A, Variable Rate, 3 mo. LIBOR + 3.00%, 3.22%, due 08/15/23     2,318,263  
    5,778,692     Loomis Sayles CLO II Ltd., Series 15-2A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 0.90%, 1.14%, due 04/15/28     5,718,241  
    1,465,400     Madison Park Funding XII Ltd, Series 14-12A, Class CR, 144A, Variable Rate, 3 mo. LIBOR + 2.35%, 2.57%, due 07/20/26     1,465,840  
    15,030,900     Mountain View CLO Ltd., Series 15-9A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.12%, 1.36%, due 07/15/31     14,814,891  
    3,906,000     Northwoods Capital XVII Ltd., Series 18-17A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.06%, 1.28%, due 04/22/31     3,850,785  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Collateralized Loan Obligations — continued

 

    1,991,642     Saranac CLO III Ltd, Series 14-3A, Class ALR, 144A, Variable Rate, 3 mo. LIBOR + 1.60%, 1.83%, due 06/22/30     1,991,988  
    7,880,500     Saratoga Investment Corp. CLO Ltd., Series 13-1A, Class BR2, 144A, Variable Rate, 3 mo. LIBOR + 2.30%, 2.52%, due 01/20/30     7,881,982  
    2,845,600     Shackleton CLO Ltd., Series 13-4RA, Class A1A, 144A, Variable Rate, 3 mo. LIBOR + 1.00%, 1.22%, due 04/13/31     2,807,184  
    11,974,000     Sound Point CLO II Ltd., Series 13-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.07%, 1.28%, due 01/26/31     11,874,975  
    6,235,025     Sound Point CLO XIX Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.00%, 1.24%, due 04/15/31     6,159,687  
    4,993,200     Venture CLO Ltd., Series 18-32A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 1.10%, 1.32%, due 07/18/31     4,943,073  
    2,932,000     Venture XII CLO Ltd., Series 12-12A, Class BRR, 144A, Variable Rate, 3 mo. LIBOR + 1.20%, 1.46%, due 02/28/26     2,870,707  
    1,568,784     Voya CLO Ltd., Series 14-3A, Class A2A, 144A, Variable Rate, 3 mo. LIBOR + 1.90%, 2.11%, due 07/25/26     1,569,236  
    460,587     WhiteHorse IX Ltd, Series 14-9A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.16%, 1.38%, due 07/17/26     459,970  
    7,746,900     Whitehorse XII Ltd., Series 18-12A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.25%, 1.49%, due 10/15/31     7,705,439  
    6,750,000     Zais CLO 1 Ltd., Series 14-1A, Class A1BR, 144A, Variable Rate, 3 mo. LIBOR + 1.50%, 1.74%, due 04/15/28     6,719,071  
    16,471,117     Zais CLO 1 Ltd., Series 14-1A, Class A1AR, 144A, Variable Rate, 3 mo. LIBOR + 1.15%, 1.39%, due 04/15/28     16,394,246  
    3,250,000     Zais CLO 2 Ltd., Series 14-2A, Class A2R, 144A, Variable Rate, 3 mo. LIBOR + 1.85%, 2.06%, due 07/25/26     3,233,350  
    1,855,001     Zais CLO 8 Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 0.95%, 1.19%, due 04/15/29     1,832,975  
     

 

 

 
    Total Collateralized Loan Obligations     131,869,447  
     

 

 

 
          Commercial Mortgage-Backed Securities — 17.6%  
    10,000,000     BAMLL Commercial Mortgage Securities Trust, Series 19-BPR, Class ANM, 144A, 3.11%, due 11/05/32     10,226,197  
    8,448,000     Barclays Commercial Mortgage Trust, Series 18-CHRS, Class E, 144A, Variable Rate, 4.41%, due 08/05/38     5,830,148  
    4,834,200     BBCMS Mortgage Trust, Series 17-C1, Class A4, 3.67%, due 02/15/50     5,498,523  
    2,591,000     Benchmark Mortgage Trust, Series 20-B21, Class E, 144A, 2.00%, due 12/15/53     1,800,840  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Commercial Mortgage-Backed Securities — continued

 

    4,498,000     BX Trust, Series 19-OC11, Class A, 144A, 3.20%, due 12/09/41     4,800,148  
    1,470,000     BX Trust, Series 19-OC11, Class C, 144A, 3.86%, due 12/09/41     1,468,686  
    5,000,000     BX Trust, Series 19-OC11, Class E, 144A, Variable Rate, 4.08%, due 12/09/41     4,604,400  
    5,000,000     CHT Mortgage Trust, Series 17-CSMO, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.93%, 1.07%, due 11/15/36     4,893,754  
    7,000,000     Commercial Mortgage Trust, Series 15-CR24, Class A5, 3.70%, due 08/10/48     7,800,325  
    6,334,436     Commercial Mortgage Trust, Series 15-CR25, Class A4, 3.76%, due 08/10/48     7,060,358  
    224,689     Credit Suisse First Boston Mortgage Securities Corp., Series 05-C2, Class AMFL, Variable Rate, 1 mo. LIBOR + 0.25%, 0.39%, due 04/15/37     213,508  
    177,519     Credit Suisse First Boston Mortgage Securities Corp., Series 05-C2, Class AMFX, 4.88%, due 04/15/37     175,744  
    6,372,761     CSAIL Commercial Mortgage Trust, Series 15-C3, Class A4, 3.72%, due 08/15/48     7,047,204  
    6,749,037     CSAIL Commercial Mortgage Trust, Series 16-C5, Class A5, 3.76%, due 11/15/48     7,506,320  
    10,000,000     Great Wolf Trust, Series 19-WOLF, Class A, 144A, Variable Rate, 1 mo. LIBOR + 1.03%, 1.18%, due 12/15/36     9,687,353  
    4,454,370     GS Mortgage Securities Trust, Series 15-GC32, Class A4, 3.76%, due 07/10/48     4,944,790  
    2,822,831     GS Mortgage Securities Trust, Series 15-GC34, Class A4, 3.51%, due 10/10/48     3,112,220  
    5,618,916     GS Mortgage Securities Trust, Series 15-GS1, Class A3, 3.73%, due 11/10/48     6,243,112  
    276,240     JP Morgan Chase Commercial Mortgage Securities Trust, Series 15-JP1, Class A5, 3.91%, due 01/15/49     313,440  
    805,930     JPMBB Commercial Mortgage Securities Trust, Series 15-C32, Class A5, 3.60%, due 11/15/48     895,160  
    1,326,589     LB-UBS Commercial Mortgage Trust, Series 04-C6, Class K, 144A, Variable Rate, 6.52%, due 08/15/36     1,363,548  
    1,500,000     Manhattan West, Series 20-1MW, Class C, 144A, Variable Rate, 2.41%, due 09/10/39     1,516,134  
    500,000     Manhattan West, Series 20-1MW, Class D, 144A, Variable Rate, 2.41%, due 09/10/39     485,444  
    3,302,338     Merrill Lynch Mortgage Investors Trust, Series 98-C1, Class F, Variable Rate, 6.25%, due 11/15/26     3,367,314  
    4,213,000     MKT Mortgage Trust, Series 20-525M, Class E, 144A, Variable Rate, 3.04%, due 02/12/40     3,967,707  
    2,505,000     MKT Mortgage Trust, Series 20-525M, Class F, 144A, Variable Rate, 3.04%, due 02/12/40     2,277,247  
    3,710,000     Morgan Stanley Bank of America Merrill Lynch Trust, Series 13-C10, Class A4, Variable Rate, 4.22%, due 07/15/46     3,965,458  
    1,201,206     Morgan Stanley Dean Witter Capital I Trust, Series 01-TOP3, Class F, 144A, Variable Rate, 8.09%, due 07/15/33     1,111,740  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Commercial Mortgage-Backed Securities — continued

 

    10,135,000     Union Station District of Columbia, Series 2018-USDC, Class E, 144A, Variable Rate, 4.64%, due 05/13/38     8,299,713  
    2,550,000     WaMu Commercial Mortgage Securities Trust, Series 06-SL1, Class E, 144A, Variable Rate, 2.53%, due 11/23/43     2,533,829  
    8,270,894     WaMu Commercial Mortgage Securities Trust, Series 07-SL3, Class G, 144A, Variable Rate, 3.39%, due 03/23/45     8,322,199  
    8,563,000     Wells Fargo Commercial Mortgage Trust, Series 13-BTC, Class F, 144A, Variable Rate, 3.67%, due 04/16/35     7,789,142  
    1,717,000     Wells Fargo Commercial Mortgage Trust, Series 13-BTC, Class D, 144A, Variable Rate, 3.67%, due 04/16/35     1,631,213  
    960,073     Wells Fargo Commercial Mortgage Trust, Series 15-NXS1, Class A5, 3.15%, due 05/15/48     1,043,263  
    4,392,094     Wells Fargo Commercial Mortgage Trust, Series 16-C32, Class A4, 3.56%, due 01/15/59     4,856,636  
     

 

 

 
    Total Commercial Mortgage-Backed Securities     146,652,817  
     

 

 

 
          Residential Mortgage-Backed Securities —
Other — 10.3%
 
    913,513     ACE Securities Corp. Home Equity Loan Trust, Series 06-ASL1, Class A, Variable Rate, 1 mo. LIBOR + 0.28%, 0.43%, due 02/25/36     252,524  
    19,056,800     American Home Mortgage Investment Trust, Series 06-2, Class 4A, Variable Rate, 1 mo. LIBOR + 0.36%, 0.51%, due 02/25/36     1,461,367  
    13,743,281     BankAmerica Manufactured Housing Contract Trust, Series 98-1, Class B2, Variable Rate, 8.00%, due 08/10/25     7,466,686  
    5,003,137     BCMSC Trust, Series 99-A, Class M1, Variable Rate, 6.79%, due 03/15/29     4,651,874  
    8,834,023     BCMSC Trust, Series 99-B, Class A4, Variable Rate, 7.30%, due 12/15/29     2,159,553  
    2,928,137     BCMSC Trust, Series 00-A, Class A4, Variable Rate, 8.29%, due 06/15/30     926,105  
    437,898     Bear Stearns Mortgage Funding Trust, Series 07-SL2, Class 1A, Variable Rate, 1 mo. LIBOR + 0.32%, 0.47%, due 02/25/37     397,456  
    2,633,402     Conseco Finance Corp., Series 97-5, Class B1, Variable Rate, 6.97%, due 05/15/29     2,590,508  
    5,184,940     Conseco Finance Securitizations Corp., Series 01-3, Class M1, Variable Rate, 7.15%, due 05/01/33     5,051,763  
    4,955,693     Conseco Financial Corp., Series 97-6, Class M1, Variable Rate, 7.21%, due 01/15/29     5,057,425  
    2,998,906     Conseco Financial Corp., Series 98-6, Class M1, Variable Rate, 6.63%, due 06/01/30     2,926,520  
    8,041,369     Countrywide Home Equity Loan Trust, Series 07-E, Class A, FSA, Variable Rate, 1 mo. LIBOR + 0.15%, 0.29%, due 06/15/37     7,701,233  
    322,470     GMACM Home Equity Loan Trust, Series 04-HE3, Class A3, FSA, Variable Rate, 1 mo. LIBOR + 0.50%, 0.65%, due 10/25/34     304,336  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Residential Mortgage-Backed Securities —
Other — continued

 

    6,108,397     GMACM Home Equity Loan Trust, Series 07-HE3, Class 2A1, Variable Rate, 7.00%, due 09/25/37     6,138,535  
    4,550,496     Home Equity Loan Trust, Series 05-HS1, Class AI4, Step Up, 5.61%, due 09/25/35     903,075  
    29,942,942     Home Equity Mortgage Loan Asset-Backed Trust, Series 06-A, Class A, Variable Rate, 1 mo. LIBOR + 0.26%, 0.41%, due 06/25/36     2,058,487  
    12,441,870     Home Loan Trust, Series 06-HI4, Class A4, Step Up, 5.72%, due 09/25/36     8,155,487  
    11,901,546     Home Loan Trust, Series 07-HI1, Class A4, Step Up, due 03/25/37     4,824,123  
    3,932,267     Master Second Lien Trust, Series 06-1, Class A, Variable Rate, 1 mo. LIBOR + 0.32%, 0.47%, due 03/25/36     526,024  
    427,129     Mellon Re-REMIC Pass-Through Trust, Series 04-TBC1, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.25%, 0.39%, due 02/26/34     364,203  
    13,990,947     New Century Home Equity Loan Trust, Series 06-S1, Class A2A, Variable Rate, 1 mo. LIBOR + 0.20%, 0.35%, due 03/25/36     832,295  
    7,980,723     New Century Home Equity Loan Trust, Series 06-S1, Class A1, Variable Rate, 1 mo. LIBOR + 0.34%, 0.49%, due 03/25/36     477,167  
    21,277,486     New Century Home Equity Loan Trust, Series 06-S1, Class A2B, Variable Rate, 1 mo. LIBOR + 0.40%, 0.55%, due 03/25/36     1,272,004  
    473,691     Nomura Asset Acceptance Corp. Alternative Loan Trust, Series 05-S3, Class M1, Variable Rate, 1 mo. LIBOR + 0.90%, 1.05%, due 08/25/35     746,034  
    6,016,300     Oakwood Mortgage Investors, Inc., Series 99-C, Class A2, 7.48%, due 08/15/27     5,692,807  
    1,572,857     Oakwood Mortgage Investors, Inc., Series 98-A, Class B1, Variable Rate, 7.50%, due 05/15/28     1,616,105  
    1,879,162     Oakwood Mortgage Investors, Inc., Series 98-D, Class M1, 144A, 7.42%, due 01/15/29     1,931,220  
    4,632,451     Oakwood Mortgage Investors, Inc., Series 99-E, Class A1, Variable Rate, 7.61%, due 03/15/30     3,855,548  
    10,463,135     Oakwood Mortgage Investors, Inc., Series 00-D, Class A4, Variable Rate, 7.40%, due 07/15/30     3,888,063  
    1,125,259     Oakwood Mortgage Investors, Inc., Series 01-D, Class A4, Variable Rate, 6.93%, due 09/15/31     911,334  
    728,767     Oakwood Mortgage Investors, Inc., Series 01-E, Class A3, 5.69%, due 12/15/31     728,212  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Other     85,868,073  
     

 

 

 
          Residential Mortgage-Backed Securities —
Prime — 7.1%
 
    9,627,171     American Home Mortgage Assets Trust, Series 06-4, Class 1A12, Variable Rate, 1 mo. LIBOR + 0.21%, 0.36%, due 10/25/46     6,406,228  
    1,087,566     Bear Stearns ARM Trust, Series 05-6, Class 3A1, Variable Rate, 3.09%, due 08/25/35     1,082,333  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Residential Mortgage-Backed Securities —
Prime — continued

 

    905,937     Bear Stearns ARM Trust, Series 05-9, Class A1, Variable Rate, U.S. Treasury Yield 1 Year CMT + 2.30%, 2.41%, due 10/25/35     920,928  
    607,837     Citigroup Mortgage Loan Trust, Series 05-3, Class 2A2, Variable Rate, 3.15%, due 08/25/35     649,518  
    5,245,811     CSMC Mortgage-Backed Trust, Series 07-4, Class 2A1, 6.00%, due 06/25/37     4,216,267  
    2,032,829     IndyMac INDA Mortgage Loan Trust, Series 06-AR3, Class 1A1, Variable Rate, 3.19%, due 12/25/36     1,858,122  
    1,470,039     IndyMac INDA Mortgage Loan Trust, Series 07-AR1, Class 1A1, Variable Rate, 3.63%, due 03/25/37     1,417,487  
    10,569,553     IndyMac INDX Mortgage Loan Trust, Series 06-AR2, Class 1A1A, Variable Rate, 1 mo. LIBOR + 0.44%, 0.59%, due 04/25/46     9,754,452  
    1,964,035     Morgan Stanley Mortgage Loan Trust, Series 06-2, Class 6A, 6.50%, due 02/25/36     1,482,779  
    3,092,884     RBSSP Resecuritization Trust, Series 09-6, Class 12A4, 144A, Variable Rate, 5.50%, due 05/26/35     3,085,684  
    1,138,711     RFMSI Trust, Series 05-SA4, Class 2A2, Variable Rate, 3.39%, due 09/25/35     1,108,614  
    934,664     RFMSI Trust, Series 06-S6, Class A12, 6.00%, due 07/25/36     932,317  
    302,599     RFMSI Trust, Series 06-S6, Class A9, 6.00%, due 07/25/36     301,839  
    7,094,871     Structured Adjustable Rate Mortgage Loan Trust, Series 05-9, Class 2A2A, Variable Rate, 12 MTA+ 1.40%, 2.14%, due 05/25/35     5,955,673  
    1,302,790     WaMu Mortgage Pass-Through Certificates, Series 05-AR10, Class 1A3, Variable Rate, 3.04%, due 09/25/35     1,392,413  
    1,457,238     WaMu Mortgage Pass-Through Certificates, Series 06-AR19, Class 2A, Variable Rate, COFI + 1.25%, 1.77%, due 01/25/47     1,398,560  
    3,396,095     Washington Mutual Mortgage Pass-Through Certificates, Series 05-4, Class CB3, Variable Rate, 1 mo. LIBOR + 0.45%, 0.60%, due 06/25/35     2,789,472  
    14,400,284     Washington Mutual Mortgage Pass-Through Certificates, Series 07-5, Class A6, 6.00%, due 06/25/37     14,845,191  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Prime     59,597,877  
     

 

 

 
          Residential Mortgage-Backed Securities —
Subprime — 2.5%
 
    1,788,863     Asset Backed Funding Certificates, Series 05-AQ1, Class A5, Step Up, 4.62%, due 06/25/35     1,886,070  
    2,578,393     BCAP LLC, Series 14-RR2, Class 11A3, 144A, Variable Rate, 0.31%, due 05/26/37     2,469,498  
    1,723,153     Bear Stearns Asset Backed Securities I Trust, Series 05-TC2, Class M3, Variable Rate, 1 mo. LIBOR + 1.08%, 1.23%, due 08/25/35     1,723,039  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Residential Mortgage-Backed Securities —Subprime — continued

 

    3,296,075     Bear Stearns Asset Backed Securities I Trust, Series 05-TC2, Class M4, Variable Rate, 1 mo. LIBOR + 1.88%, 2.03%, due 08/25/35     3,327,416  
    1,897,320     Bear Stearns Asset-Backed Securities, Inc., Series 07-AQ1, Class A1, Variable Rate, 1 mo. LIBOR + 0.11%, 0.26%, due 04/25/31 (b)     4,694,728  
    3,822,018     Bravo Mortgage Asset Trust, Series 06-1A, Class M1,144A, Variable Rate, 1 mo. LIBOR + 0.40%, 0.55%, due 07/25/36     3,493,993  
    1,453,055     CHL Mortgage Pass-Through Trust, Series 04-HYB6, Class A2, Variable Rate, 2.74%, due 11/20/34     1,481,049  
    1,550,144     GSAA Trust, Series 05-1, Class M1, Step Up, 5.30%, due 11/25/34     1,582,650  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Subprime     20,658,443  
     

 

 

 
          Residential Mortgage-Backed Securities —
Alt-A — 1.1%
 
    696,136     Alternative Loan Trust, Series 04-J11, Class 1CB1, 5.50%, due 11/25/34     733,607  
    1,980,595     Alternative Loan Trust, Series 06-7CB, Class 1A1, Variable Rate, 1 mo. LIBOR + 0.70%, 0.85%, due 05/25/36     871,059  
    2,017,045     Alternative Loan Trust, Series 06-28CB, Class A1, Variable Rate, 1 mo. LIBOR + 0.70%, 0.85%, due 10/25/36     816,294  
    2,916,345     Bear Stearns Asset Backed Securities I Trust, Series 04-AC5, Class A1, Step Up, 5.75%, due 10/25/34     2,981,007  
    4,660,043     Citigroup Mortgage Loan Trust, Inc., Series 06-AR5, Class 2A2A, Variable Rate, 3.11%, due 07/25/36     3,155,635  
    836,968     JP Morgan Resecuritization Trust, Series 09-10, Class 7A1, 144A, Variable Rate, 6.05%, due 02/26/37     845,865  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Alt-A     9,403,467  
     

 

 

 
          Small Balance Commercial Mortgages — 8.1%  
    411,303     Bayview Commercial Asset Trust, Series 04-1, Class M1, 144A, Variable Rate, 1 mo. LIBOR + 0.84%, 0.99%, due 04/25/34     409,490  
    372,497     Bayview Commercial Asset Trust, Series 04-1, Class M2, 144A, Variable Rate, 1 mo. LIBOR + 1.80%, 1.95%, due 04/25/34     371,553  
    413,984     Bayview Commercial Asset Trust, Series 04-1, Class B, 144A, Variable Rate, 1 mo. LIBOR + 2.85%, 3.00%, due 04/25/34     413,450  
    4,480,486     Bayview Commercial Asset Trust, Series 05-2A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.31%, 0.46%, due 08/25/35     4,186,336  
    2,252,296     Bayview Commercial Asset Trust, Series 05-4A, Class A2, 144A, Variable Rate, 1 mo. LIBOR + 0.39%, 0.54%, due 01/25/36     2,121,706  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Small Balance Commercial Mortgages — continued

 

    1,217,759     Bayview Commercial Asset Trust, Series 06-1A, Class M1, 144A, Variable Rate, 1 mo. LIBOR + 0.38%, 0.53%, due 04/25/36     1,100,328  
    1,791,977     Bayview Commercial Asset Trust, Series 06-2A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.23%, 0.38%, due 07/25/36     1,664,974  
    3,665,511     Bayview Commercial Asset Trust, Series 06-2A, Class A2, 144A, Variable Rate, 1 mo. LIBOR + 0.28%, 0.43%, due 07/25/36     3,415,384  
    4,543,528     Bayview Commercial Asset Trust, Series 06-3A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.25%, 0.40%, due 10/25/36     4,225,345  
    2,388,293     Bayview Commercial Asset Trust, Series 07-1, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.22%, 0.37%, due 03/25/37     2,223,735  
    1,938,479     Bayview Commercial Asset Trust, Series 07-3, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.24%, 0.39%, due 07/25/37     1,815,859  
    7,878,113     Bayview Commercial Asset Trust, Series 07-2A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.27%, 0.42%, due 07/25/37     7,299,193  
    947,507     Bayview Commercial Asset Trust, Series 07-6A, Class A3B, 144A, Variable Rate, 1 mo. LIBOR + 0.85%, 1.00%, due 12/25/37     944,162  
    8,108,856     Bayview Commercial Asset Trust, Series 07-6A, Class A3A, 144A, Variable Rate, 1 mo. LIBOR + 1.25%, 1.40%, due 12/25/37     8,107,900  
    2,326,758     Hana SBL Loan Trust, Series 19-1, Class A, 144A, Variable Rate, 1 mo. LIBOR + 2.00%, 2.15%, due 08/25/45     2,245,643  
    4,300,000     Lehman Brothers Small Balance Commercial, Series 07-2A, Class M1, 144A, Variable Rate, 1 mo. LIBOR + 0.40%, 0.55%, due 06/25/37     4,073,218  
    908,296     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 05-1A, Class M1,144A, Variable Rate, 1 mo. LIBOR + 0.35%, 0.50%, due 02/25/30     903,310  
    989,266     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 05-1A, Class M2,144A, Variable Rate, 1 mo. LIBOR + 0.55%, 0.70%, due 02/25/30     983,208  
    2,467,604     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 05-2A, Class B, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 1.15%, due 09/25/30     2,373,109  
    4,069,989     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 06-1A, Class M3, 144A, Variable Rate, 1 mo. LIBOR + 0.53%, 0.68%, due 04/25/31     4,002,033  
    2,022,599     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 06-1A, Class B, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 1.15%, due 04/25/31     1,903,769  
    1,120,306     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 06-2A, Class M2, 144A, Variable Rate, 1 mo. LIBOR + 0.39%, 0.54%, due 09/25/36     1,097,329  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Small Balance Commercial Mortgages — continued

 

    5,257,410     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-3A, Class AJ, 144A, Variable Rate, 5.73%, due 10/25/37     5,311,263  
    3,273,722     WaMu Commercial Mortgage Securities Trust, Series 07-SL2, Class D, 144A, Variable Rate, 3.31%, due 12/27/49     3,259,846  
    3,176,664     WaMu Commercial Mortgage Securities Trust, Series 07-SL2, Class E, 144A, Variable Rate, 3.47%, due 12/27/49     3,118,448  
     

 

 

 
    Total Small Balance Commercial Mortgages     67,570,591  
     

 

 

 
          Student Loans — Federal Family Education Loan
Program — 5.5%
 
    4,512,866     AccessLex Institute, Series 04-2, Class A3, Variable Rate, 3 mo. LIBOR + 0.19%, 0.40%, due 10/25/24     4,427,223  
    9,851,497     AccessLex Institute, Series 04-2, Class B, Variable Rate, 3 mo. LIBOR + 0.70%, 0.91%, due 01/25/43     8,417,203  
    10,698,288     AccessLex Institute, Series 07-1, Class A4, Variable Rate, 3 mo. LIBOR + 0.06%, 0.27%, due 01/25/23     10,520,924  
    4,040,551     Collegiate Funding Services Education Loan Trust, Series 05-B, Class B, Variable Rate, 3 mo. LIBOR + 0.32%, 0.55%, due 03/28/35 (a)     3,446,336  
    7,479,317     SLC Student Loan Trust, Series 08-2, Class A4, Variable Rate, 3 mo. LIBOR + 0.90%, 1.15%, due 06/15/21     7,252,638  
    11,664,895     SLM Student Loan Trust, Series 08-4, Class A4, Variable Rate, 3 mo. LIBOR + 1.65%, 1.86%, due 07/25/22     11,617,702  
     

 

 

 
    Total Student Loans — Federal Family Education Loan Program     45,682,026  
     

 

 

 
          Student Loans — Private — 14.9%  
    3,486,382     AccessLex Institute, Series 05-A, Class B, Variable Rate, 3 mo. LIBOR + 0.80%, 1.01%, due 07/25/34     3,327,806  
    2,633,376     KeyCorp Student Loan Trust, Series 05-A, Class 2B, Variable Rate, 3 mo. LIBOR + 0.73%, 0.96%, due 09/27/38     2,611,086  
    18,343,760     KeyCorp Student Loan Trust, Series 06-A, Class 2B, Variable Rate, 3 mo. LIBOR + 0.48%, 0.71%, due 12/27/41     18,016,225  
    2,332,854     KeyCorp Student Loan Trust, Series 04-A, Class 2C, Variable Rate, 3 mo. LIBOR + 0.80%, 1.02%, due 04/28/42     2,295,024  
    5,622,500     KeyCorp Student Loan Trust, Series 04-A, Class 2D, Variable Rate, 3 mo. LIBOR + 1.25%, 1.47%, due 07/28/42     4,842,314  
    1,166,164     L2L Education Loan Trust, Series 06-1A, Class B, 144A, Variable Rate, 1 mo. LIBOR + 0.50%, 0.64%, due 10/15/28     1,140,829  
    8,775,000     National Collegiate Commutation Trust, Series 07-3, Class A3R4, 144A, Variable Rate, 7-DayAuc + 0.00%, due 03/31/38 (b)     2,632,500  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Student Loans — Private — continued

 

    7,625,000     National Collegiate II Commutation Trust, Series 07-4, Class A3R7, Variable Rate, 28-DayAuct + 0.00%, due 03/25/38 (b)     2,173,125  
    3,275,000     National Collegiate II Commutation Trust, Series 07-4, Class A3R6, Variable Rate, 28-DayAuct + 0.00%, due 03/25/38 (b)     933,375  
    2,890,310     National Collegiate Student Loan Trust, Series 05-3, Class A51, Variable Rate, 1 mo. LIBOR + 0.38%, 0.53%, due 10/25/33     2,796,478  
    8,260,955     National Collegiate Student Loan Trust, Series 06-4, Class A4, Variable Rate, 1 mo. LIBOR + 0.31%, 0.46%, due 05/25/32     7,885,121  
    5,426,313     National Collegiate Student Loan Trust, Series 07-2, Class A4, Variable Rate, 1 mo. LIBOR + 0.29%, 0.44%, due 01/25/33     5,054,123  
    5,618,733     National Collegiate Student Loan Trust, Series 06-1, Class A5, Variable Rate, 1 mo. LIBOR + 0.35%, 0.50%, due 03/25/33     5,341,924  
    8,843,105     National Collegiate Student Loan Trust, Series 05-2, Class A51, Variable Rate, 1 mo. LIBOR + 0.37%, 0.52%, due 06/25/33     8,482,948  
    13,352,989     National Collegiate Student Loan Trust, Series 07-1, Class A4, Variable Rate, 1 mo. LIBOR + 0.31%, 0.45%, due 10/25/33     12,377,529  
    3,256,000     National Collegiate Student Loan Trust, Series 04-2, Class B, Variable Rate, 1 mo. LIBOR + 0.54%, 0.69%, due 12/26/33     3,013,493  
    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  
    6,156,000     SLM Private Credit Student Loan Trust, Series 03-A, Class A3, Variable Rate, 28-DayAuct + 0.00%, due 06/15/32 (b)     6,112,908  
    3,150,000     SLM Private Credit Student Loan Trust, Series 03-C, Class A3, Variable Rate, 28-DayAuct + 0.00%, due 09/15/32 (b)     3,127,950  
    5,400,350     SLM Private Credit Student Loan Trust, Series 03-C, Class C, Variable Rate, 3 mo. LIBOR + 1.60%, 1.85%, due 09/15/32     1,612,734  
    9,000,000     SLM Private Credit Student Loan Trust, Series 04-B, Class A4, Variable Rate, 3 mo. LIBOR + 0.43%, 0.68%, due 09/15/33     8,569,687  
    1,848,044     SLM Private Credit Student Loan Trust, Series 05-A, Class B, Variable Rate, 3 mo. LIBOR + 0.28%, 0.53%, due 12/15/38     1,840,449  
    4,272,619     SLM Private Credit Student Loan Trust, Series 06-A, Class A5, Variable Rate, 3 mo. LIBOR + 0.29%, 0.54%, due 06/15/39     4,095,417  
    3,124,231     SLM Private Credit Student Loan Trust, Series 05-B, Class A4, Variable Rate, 3 mo. LIBOR + 0.33%, 0.58%, due 06/15/39     2,981,291  
    2,672,291     SLM Private Credit Student Loan Trust, Series 06-C, Class C, Variable Rate, 3 mo. LIBOR + 0.39%, 0.64%, due 12/15/39     2,209,260  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
    Asset-Backed Securities — continued

 

    Student Loans — Private — continued

 

    3,790,787     South Carolina Student Loan Corp., Series 15-A, Class A, Variable Rate, 1 mo. LIBOR + 1.50%, 1.65%, due 01/25/36     3,801,105  
    6,989,400     Towd Point Asset Trust, Series 18-SL1, Class B, 144A, Variable Rate, 1 mo. LIBOR + 1.05%, 1.20%, due 01/25/46     6,512,437  
     

 

 

 
    Total Student Loans — Private     123,867,138  
     

 

 

 
    Total Asset-Backed Securities     697,039,284  
     

 

 

 
          U.S. Government — 0.2%  
    1,586,000     U.S. Treasury Note, Variable Rate, USBM + 0.12%, 0.20%, due 01/31/21 (c)     1,586,332  
     

 

 

 
          U.S. Government Agency — 1.3%  
    4,443,750     Agency for International Development Floater (Support of Morocco), Variable Rate, 6 mo. LIBOR — 0.02%, 0.23%, due 02/01/25 (b)     4,326,688  
    4,500,000     Agency for International Development Floater (Support of Morocco), Variable Rate, 6 mo. LIBOR + 0.15%, 0.40%, due 10/29/26 (b)     4,351,193  
    2,115,000     Agency for International Development Floater (Support of Tunisia), Variable Rate, 6 mo. LIBOR + 0.00%, 0.25%, due 07/01/23 (b)     2,080,851  
     

 

 

 
    Total U.S. Government Agency     10,758,732  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $738,501,540)
    709,384,348  
     

 

 

 
          MUTUAL FUNDS — 1.3%      
          United States — 1.3%      
    Affiliated Issuers — 1.3%  
    2,183,242     GMO U.S. Treasury Fund     11,003,541  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $11,003,541)
    11,003,541  
     

 

 

 
     Shares /
Par Value†
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 9.7%

 

          Money Market Funds — 0.8%  
    6,698,595     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (d)     6,698,595  
     

 

 

 
          U.S. Government — 8.9%  
    34,000,000     U.S. Treasury Bill, 0.08%, due 02/04/21 (e)     33,995,078  
    35,000,000     U.S. Treasury Bill, 0.09%, due 03/18/21 (e)     34,990,898  
    5,000,000     U.S. Treasury Bill, 0.09%, due 04/22/21 (e)     4,998,176  
     

 

 

 
    Total U.S. Government     73,984,152  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $80,677,912)
    80,682,747  
     

 

 

 
 

 

PURCHASED OPTIONS — 0.1%

 

Description   Counterparty    Exercise
Rate
    Expiration
Date
  Principal/
Notional
Amount
     Floating Rate
Index
     Pay/Receive
Floating Rate
     Value ($)  
Option on Credit Default Swaps — Calls — 0.1%

 

CDX.NA.IGS.35.V1-5Y   MSCI      55.00%     01/20/21     USD 65,527,000        Fixed Spread        Receive        211,976  
                 

 

 

 
Option on Credit Default Swaps — Puts — 0.0%

 

        
CDX.NA.HYS.35.V1-5Y   GS      106.50%     02/17/21     USD 11,825,000        Fixed Spread        Pay        116,033  
                 

 

 

 
  TOTAL PURCHASED OPTIONS
(COST $389,773)
             328,009  
                 

 

 

 
  TOTAL INVESTMENTS — 96.2%
(Cost $830,572,766)
             801,398,645  
  Other Assets and Liabilities (net) — 3.8%              31,943,046  
                 

 

 

 
  TOTAL NET ASSETS — 100.0%              $833,341,691  
                 

 

 

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

 

Forward Currency Contracts

 

Settlement
Date
 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/19/2021   DB   EUR     39,600     USD     47,052       (255
01/19/2021   GS   EUR     2,042,170     USD     2,394,056       (45,570
01/19/2021   DB   USD     333,641     EUR     280,800       1,810  
01/19/2021   GS   USD     2,605,301     EUR     2,222,366       49,590  
           

 

 

 
            $ 5,575  
           

 

 

 

Futures Contracts

 

Number of
Contracts +

 

Type

  Expiration
Date
 


Notional
Amount ($)

    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
33   U.S. Treasury Note 5 Yr. (CBT)   March 2021   $ 4,159,031     $ (5,108
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

    

Sales - Fund is short the futures contract.

 

 

Written Options

 

Description

  Counterparty    Exercise
Rate
    

Expiration
Date

   Principal/
Notional
Amount
     Floating
Rate Index
   Pay/Receive
Floating Rate
     Value ($)  
Written Options on Credit Default Swaps — Puts            
ITRAXX.XOVERS.33.V3-5Y   DB      500.00%      12/16/20      EUR   9,800,000      Fixed Spread      Pay        (2,611
CDX.NA.IGS.35.V1-5Y   GS      60.00%      12/16/20      USD 59,146,500      Fixed Spread      Pay        (17,232
CDX.NA.IGS.35.V1-5Y   MSCI      80.00%      01/20/21      USD 65,527,000      Fixed Spread      Pay        (31,648
CDX.NA.HYS.35.V1-5Y   GS      100.00%      02/17/21      USD 23,649,000      Fixed Spread      Pay        (73,990
                   

 

 

 
  TOTAL WRITTEN OPTIONS ON CREDIT DEFAULT SWAPS — PUTS
(Premiums $542,866)
     $ (125,481
                   

 

 

 

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   21,745,573     5.00%       1.83%       N/A       12/20/2023       Quarterly       (2,273,176     (2,290,381     (17,205

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

  USD   49,070,000     1.00%       0.60%       N/A       12/20/2024       Quarterly       (417,805     (812,109     (394,304

ITRAXX.EUROPES.32.V1-5Y

  EUR   29,470,000     1.00%       0.43%       N/A       12/20/2024       Quarterly       (859,948     (777,556     82,392  

CDX.NA.HYS.34.V8-5Y

  USD   8,213,760     5.00%       2.84%       N/A       06/20/2025       Quarterly       (416,438     (723,214     (306,776

CDX.NA.IGS.35.V1-5Y

  USD   59,146,500     1.00%       0.52%       N/A       12/20/2025       Quarterly       (1,281,546     (1,469,850     (188,304

CDX.NA.IGS.35.V1-5Y

  USD   65,527,000     1.00%       0.52%       N/A       12/20/2025       Quarterly       (1,435,777     (1,628,412     (192,635

Sell Protection^:

 

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

  USD   17,200,000     1.00%       0.49%       17,200,000 USD       06/20/2022       Quarterly       300,982       131,752       (169,230

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

  USD   2,300,650     5.00%       2.61%       2,300,650 USD       12/20/2024       Quarterly       78,900       204,363       125,463  
               

 

 

   

 

 

   

 

 

 
  $ (6,304,808   $ (7,365,407   $ (1,060,599
 

 

 

   

 

 

   

 

 

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 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^:                      
CDX.NA.IGS.25.V1-5Y   BOA     USD     4,400,000   1.00%     0.61%       N/A     12/20/2020   Quarterly     710,600       (964     (711,564
CDX.NA.IGS.25.V1-5Y   CITI     USD     4,300,000   1.00%     0.61%       N/A     12/20/2020   Quarterly     547,892       (942     (548,834
CDX.NA.HYS.27.V2-5Y   GS     USD     4,458,000   5.00%     2.70%       N/A     12/20/2021   Quarterly     11,145       (108,428     (119,573
CDX.NA.HYS.27.V2-5Y   JPM     USD     4,300,000   5.00%     2.70%       N/A     12/20/2021   Quarterly     (11,825     (104,585     (92,760
D.R. Horton, Inc.   BCLY     USD     17,200,000   1.00%     0.14%       N/A     06/20/2022   Quarterly     (165,250     (232,422     (67,172
CDX.NA.HYS.29.V1-5Y   JPM     USD     6,425,250   5.00%     4.45%       N/A     12/20/2022   Quarterly     (282,711     (71,158     211,553  
CDX.NA.HYS.29.V1-5Y   MORD     USD     3,450,800   5.00%     4.45%       N/A     12/20/2022   Quarterly     (188,414     (38,217     150,197  
CDX.NA.HYS.29.V1-5Y   JPM     USD     870,000   5.00%     4.45%       N/A     12/20/2022   Quarterly     (51,765     (9,635     42,130  
Navient Corp.   BCLY     USD     2,082,800   5.00%     2.23%       N/A     12/20/2022   Quarterly     (160,628     (116,322     44,306  
Navient Corp.   BCLY     USD     3,435,200   5.00%     2.23%       N/A     12/20/2022   Quarterly     (264,646     (191,850     72,796  
Navient Corp.   GS     USD     4,050,000   5.00%     2.23%       N/A     12/20/2022   Quarterly     (421,122     (226,187     194,935  
Navient Corp.   GS     USD     2,700,000   5.00%     2.23%       N/A     12/20/2022   Quarterly     (277,471     (150,791     126,680  
ITRAXX.EUROPES.32.V1-5Y   BOA     EUR     10,000,000   1.00%     1.84%       N/A     12/20/2024   Quarterly     748,704       405,343       (343,361
CMBX.NA.A.7   CGMI     USD     1,420,000   2.00%     5.24%       N/A     01/17/2047   Monthly     89,177       123,025       33,848  
CMBX.NA.AA.7   GS     USD     5,000,000   1.50%     1.37%       N/A     01/17/2047   Monthly     7,975       (18,453     (26,428
CMBX.NA.AS.7   DB     USD     7,608,000   1.00%     0.84%       N/A     01/17/2047   Monthly     (119,899     (34,593     85,306  
CMBX.NA.AS.7   BOA     USD     4,505,000   1.00%     0.84%       N/A     01/17/2047   Monthly     47,351       (20,484     (67,835
CMBX.NA.AS.7   DB     USD     16,677,794   1.00%     0.84%       N/A     01/17/2047   Monthly     197,705       (75,832     (273,537
CMBX.NA.AS.7   GS     USD     4,400,000   1.00%     0.84%       N/A     01/17/2047   Monthly     112,812       (20,006     (132,818
CMBX.NA.AS.7   MORD     USD     13,270,000   1.00%     0.84%       N/A     01/17/2047   Monthly     205,782       (60,337     (266,119
CMBX.NA.AA.8   CSI     USD     8,892,000   1.50%     1.75%       N/A     10/17/2057   Monthly     247,717       81,343       (166,374
CMBX.NA.AS.8   MORD     USD     3,384,000   1.00%     1.00%       N/A     10/17/2057   Monthly     140,432       598       (139,834
CMBX.NA.AS.8   CITI     USD     8,892,000   1.00%     1.00%       N/A     10/17/2057   Monthly     73,095       1,571       (71,524
CMBX.NA.BBB-.8   GS     USD     4,224,000   3.00%     9.28%       N/A     10/17/2057   Monthly     400,908       859,848       458,940  
CMBX.NA.BBB-.8   GS     USD     6,889,000   3.00%     9.28%       N/A     10/17/2057   Monthly     1,034,610       1,402,342       367,732  
CMBX.NA.AAA.9   CGMI     USD     4,000,000   0.50%     0.24%       N/A     09/17/2058   Monthly     (17,095     (49,913     (32,818
CMBX.NA.AAA.9   GS     USD     2,902,300   0.50%     0.24%       N/A     09/17/2058   Monthly     (14,187     (36,216     (22,029
CMBX.NA.AAA.9   MSCI     USD     3,328,000   0.50%     0.24%       N/A     09/17/2058   Monthly     (31,983     (41,528     (9,545
CMBX.NA.AAA.9   GS     USD     10,000,000   0.50%     0.24%       N/A     09/17/2058   Quarterly     (102,116     (124,784     (22,668
CMBX.NA.AAA.9   MORD     USD     5,000,000   0.50%     0.24%       N/A     09/17/2058   Monthly     (51,058     (62,392     (11,334
CMBX.NA.BBB-.9   MORD     USD     5,116,800   3.00%     7.48%       N/A     09/17/2058   Monthly     584,727       934,532       349,805  
CMBX.NA.BBB-.9   DB     USD     4,263,000   3.00%     7.48%       N/A     09/17/2058   Monthly     517,160       778,594       261,434  
CMBX.NA.BBB-.9   MORD     USD     2,585,000   3.00%     7.48%       N/A     09/17/2058   Monthly     63,490       472,125       408,635  
CMBX.NA.BBB-.9   CGMI     USD     3,425,200   3.00%     7.48%       N/A     09/17/2058   Monthly     955,105       625,579       (329,526
CMBX.NA.AAA.10   MSCI     USD     9,668,400   0.50%     0.30%       N/A     11/17/2059   Monthly     (15,090     (110,639     (95,549
CMBX.NA.AAA.10   MSCI     USD     1,381,200   0.50%     0.30%       N/A     11/17/2059   Monthly     (2,156     (15,806     (13,650
CMBX.NA.AAA.10   CGMI     USD     7,079,200   0.50%     0.30%       N/A     11/17/2059   Monthly     (89,216     (81,010     8,206  
CMBX.NA.A.6   CGMI     USD     2,840,000   2.00%     7.77%       N/A     05/11/2063   Monthly     340,958       266,126       (74,832
CMBX.NA.AA.6   GS     USD     5,000,000   1.50%     1.46%       N/A     05/11/2063   Monthly     35,145       (3,078     (38,223
CMBX.NA.BBB-.6   CGMI     USD     4,274,000   3.00%     23.24%       N/A     05/11/2063   Monthly     1,357,351       1,237,268       (120,083
CMBX.NA.BBB-.13   GS     USD     4,960,000   3.00%     4.17%       N/A     12/16/2072   Monthly     1,011,544       423,872       (587,672
CMBX.NA.BBB-.13   GS     USD     2,000,000   3.00%     4.17%       N/A     12/16/2072   Monthly     268,842       170,916       (97,926
CMBX.NA.BBB-.13   GS     USD     1,000,000   3.00%     4.17%       N/A     12/16/2072   Monthly     106,533       85,458       (21,075
CMBX.NA.BBB-.13   MORD     USD     2,000,000   3.00%     4.17%       N/A     12/16/2072   Monthly     408,836       170,916       (237,920
CMBX.NA.BBB-.13   MORD     USD     2,000,000   3.00%     4.17%       N/A     12/16/2072   Monthly     332,412       170,916       (161,496

Sell Protection^:

 
CDX.NA.HYS.27.V2-5Y   GS     USD     2,084,000   5.00%     0.26%       2,084,000 USD     12/20/2021   Quarterly     268,315       105,247       (163,068
CDX.NA.HYS.27.V2-5Y   JPM     USD     8,600,000   5.00%     0.26%       8,600,000 USD     12/20/2021   Quarterly     1,143,800       434,321       (709,479
CDX.NA.HYS.27.V3-5Y   BOA     USD     8,545,000   5.00%     0.26%       8,545,000 USD     12/20/2021   Quarterly     1,369,764       431,544       (938,220
CDX.NA.HYS.27.V3-5Y   JPM     USD     7,735,000   5.00%     0.26%       7,735,000 USD     12/20/2021   Quarterly     1,096,050       390,637       (705,413
CDX.NA.HYS.29.V1-5Y   MORD     USD     4,264,000   5.00%     0.79%       4,264,000 USD     12/20/2022   Quarterly     644,717       371,180       (273,537
CDX.NA.HYS.29.V1-5Y   BOA     USD     5,115,600   5.00%     0.79%       5,115,600 USD     12/20/2022   Quarterly     742,274       445,312       (296,962
CDX.NA.HYS.29.V6-5Y   CITI     USD     5,994,100   5.00%     0.79%       5,994,100 USD     12/20/2022   Quarterly     229,274       521,785       292,511  
CDX.NA.HYS.31.V1-5Y   JPM     USD     18,156,815   5.00%     0.32%       18,156,815 USD     12/20/2023   Quarterly     3,615,022       2,563,629       (1,051,393
ITRAXX.XOVERS.30.V3-5Y   JPM     EUR     655,580   5.00%     35.01%       655,580 EUR     12/20/2023   Quarterly     (487,841     (457,089     30,752  
ITRAXX.XOVERS.30.V4-5Y   JPM     EUR     158,684   5.00%     35.01%       158,684 EUR     12/20/2023   Quarterly     (110,801     (110,639     162  
CDX.NA.HYS.33.V1-5Y   GS     USD     25,938,066   5.00%     0.47%       25,938,066 USD     12/20/2024   Quarterly     5,736,852       4,640,738       (1,096,114
CDX.NA.HYS.33.V12-5Y   MORD     USD     2,840,000   5.00%     0.47%       2,840,000 USD     12/20/2024   Quarterly     481,871       508,122       26,251  


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

OTC Credit Default Swaps — continued

 

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) ($)
 

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

  CITI     USD     4,185,325   5.00%     0.47%       4,185,325 USD       12/20/2024     Quarterly     442,877       748,823       305,946  

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

  GS     USD     9,506,516   5.00%     0.47%       9,506,516 USD       12/20/2024     Quarterly     1,343,307       1,700,869       357,562  

CDX.NA.HYS.33.V8-5Y

  GS     USD     6,508,491   5.00%     0.47%       6,508,491 USD       12/20/2024     Quarterly     1,066,328       1,164,474       98,146  

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

  CITI     USD     1,472,000   1.00%     13.91%       1,472,000 USD       12/20/2024     Quarterly     (820,051     (612,867     207,184  

ITRAXX.EUROPES.32.V1-5Y

  BOA     EUR     25,000,000   1.00%     0.75%       25,000,000 EUR       12/20/2024     Quarterly     114,434       306,949       192,515  

ITRAXX.EUROPES.32.V1-5Y

  GS     EUR     58,940,000   1.00%     0.16%       58,940,000 EUR       12/20/2024     Quarterly     2,667,689       2,424,162       (243,527

CMBX.NA.A.9

  GS     USD     6,822,400   2.00%     3.04%       6,822,400 USD       09/17/2058     Monthly     89,487       (319,572     (409,059
                 

 

 

   

 

 

   

 

 

 
  $ 27,924,744     $ 21,461,425     $ (6,463,319
                 

 

 

   

 

 

   

 

 

 

 

^

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 November 30, 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) ($)
 
0.25%      3 Month USD LIBOR    USD      9,700,000          11/10/2022        Quarterly        (4,539        (4,134        405  
0.30%      3 Month USD LIBOR    USD      9,750,000          08/17/2024        Quarterly                 4,763          4,763  
0.33%      3 Month USD LIBOR    USD      12,520,000          10/20/2024        Quarterly        3,562          (2,300        (5,862
0.35%      3 Month USD LIBOR    USD      48,480,000          04/19/2025        Quarterly        43          36,821          36,778  
0.40%      3 Month USD LIBOR    USD      26,300,000          10/08/2025        Quarterly        (3,685        13,538          17,223  
0.48%      3 Month USD LIBOR    USD      1,870,000          08/19/2027        Quarterly                 13,850          13,850  
0.88%      3 Month USD LIBOR    USD      6,595,000          03/06/2028        Quarterly        (15,632        (115,935        (100,303
0.65%      3 Month USD LIBOR    USD      7,490,000          06/04/2028        Quarterly        (38,264        3,882          42,146  
0.65%      3 Month USD LIBOR    USD      5,790,000          07/30/2028        Quarterly        (25,114        8,295          33,409  
0.56%      3 Month USD LIBOR    USD      4,790,000          09/01/2028        Quarterly                 44,301          44,301  
1.30%      3 Month USD LIBOR    USD      10,027,000          12/19/2029        Quarterly                 (466,153        (466,153
0.75%      3 Month USD LIBOR    USD      5,100,000          02/11/2030        Quarterly        (22,015        17,875          39,890  
0.83%      3 Month USD LIBOR    USD      1,630,000          11/24/2030        Quarterly                 2,984          2,984  
                         

 

 

      

 

 

      

 

 

 
     $ (105,644      $ (442,213      $ (336,569
                         

 

 

      

 

 

      

 

 

 

As of November 30, 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 Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

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 November 30, 2020.

 

(e)

The rate shown represents yield-to-maturity.

The rates shown on variable rate notes are the current interest rates at November 30, 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

MTA – Monthly Treasury Average Index

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.

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 Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 99.9%

 

    U.S. Government — 98.0%

 

    11,900,000     U.S. Treasury Bill, 0.11%, due 09/09/21 (a)     11,890,212  
    91,000,000     U.S. Treasury Bill, 0.10%, due 10/07/21 (a)     90,919,680  
    40,000,000     U.S. Treasury Bill, 0.11%, due 11/04/21 (a)     39,958,689  
    10,000,000     U.S. Treasury Note, 1.13%, due 06/30/21     10,060,156  
    30,000,000     U.S. Treasury Note, 1.13%, due 07/31/21     30,206,250  
    35,000,000     U.S. Treasury Note, 1.13%, due 08/31/21     35,263,867  
    37,000,000     U.S. Treasury Note, 1.13%, due 09/30/21     37,312,188  
    50,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.30%, 0.39%, due 10/31/21     50,130,566  
    45,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.15%, 0.24%, due 01/31/22     45,055,886  
    40,000,000     U.S. Treasury Note, 1.75%, due 02/28/22     40,812,500  
     

 

 

 
    Total U.S. Government     391,609,994  
     

 

 

 
          U.S. Government Agency — 1.3%  
    5,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.09%, 0.17%, due 09/10/21     5,002,597  
     

 

 

 
          Money Market Funds — 0.6%  
    2,569,899     State Street Institutional Treasury Plus Money Market Fund – Premier Class, 0.01% (b)     2,569,899  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS (COST $398,876,862)     399,182,490  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $398,876,862)
    399,182,490  
    Other Assets and Liabilities (net) — 0.1%     437,095  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $399,619,585  
     

 

 

 

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 November 30, 2020.

The rates shown on variable rate notes are the current interest rates at November 30, 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, Emerging Country Debt Fund, High Yield Fund, Multi-Sector Fixed Income Fund (formerly Core Plus Bond 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 November 30, 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 November 30, 2020:

 

         
Description   Level 1     Level 2     Level 3     Total  

Asset Allocation Bond Fund

         

Asset Valuation Inputs

         

Debt Obligations

         

U.S. Government

  $     $ 118,627,797     $     $ 118,627,797  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          118,627,797             118,627,797  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

    4,509,289                   4,509,289  

Short-Term Investments

    411,936                   411,936  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    4,921,225       118,627,797             123,549,022  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 4,921,225     $ 118,627,797     $     $ 123,549,022  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Emerging Country Debt Fund

         

Asset Valuation Inputs

         

Debt Obligations

         

Asset-Backed Securities

  $     $ 26,974,438     $     $ 26,974,438  

Corporate Debt

          204,027,758       27,599,754       231,627,512  

Foreign Government Agency

          1,073,868,902       98,591,052       1,172,459,954  

Foreign Government Obligations

          2,394,262,559       140,410,358       2,534,672,917  

U.S. Government

    258,516,391                   258,516,391  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    258,516,391       3,699,133,657       266,601,164       4,224,251,212  
   

 

 

   

 

 

   

 

 

   

 

 

 

Loan Assignments

                18,443,191       18,443,191  

Loan Participations

                40,526,838       40,526,838  

Mutual Funds

    74,784,247                   74,784,247  

Rights/Warrants

          15,109,993       36,163       15,146,156  

Short-Term Investments

    8,350,363                   8,350,363  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    341,651,001       3,714,243,650       325,607,356       4,381,502,007  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Options

         

Credit Risk

                638,570       638,570  

Swap Contracts

         

Credit Risk

          15,783,421             15,783,421  

Interest Rate Risk

          535,304             535,304  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 341,651,001     $ 3,730,562,375     $ 326,245,926     $ 4,398,459,302  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (4,159,520   $     $ (4,159,520

Options

         

Credit Risk

                (194,255     (194,255

Swap Contracts

         

Credit Risk

          (7,948,677           (7,948,677

Interest Rate Risk

          (5,706,889           (5,706,889
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (17,815,086   $ (194,255   $ (18,009,341
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

High Yield Fund

         

Asset Valuation Inputs

         

Debt Obligations

         

Corporate Debt

  $     $ 57,527,622     $     $ 57,527,622  

U.S. Government

    150,186                   150,186  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    150,186       57,527,622             57,677,808  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

    86,637,140                   86,637,140  

Short-Term Investments

    10,097,175       14,369,577             24,466,752  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    96,884,501       71,897,199             168,781,700  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
High Yield Fund (continued)                        
Asset Valuation Inputs (continued)                        

Derivatives^

         

Futures Contracts

         

Interest Rate Risk

  $ 17,656     $     $     $ 17,656  

Swap Contracts

         

Credit Risk

          2,133,203             2,133,203  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 96,902,157     $ 74,030,402     $     $ 170,932,559  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (105,147   $     $ (105,147

Futures Contracts

         

Interest Rate Risk

    (4,659                 (4,659
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (4,659   $ (105,147   $     $ (109,806
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Multi-Sector Fixed Income Fund (formerly Core Plus Bond Fund)

 

   

Asset Valuation Inputs

         

Debt Obligations

         

Asset-Backed Securities

  $     $ 63,670,213     $     $ 63,670,213  

Corporate Debt

          56,048,127             56,048,127  

U.S. Government

    6,578,379                   6,578,379  

U.S. Government Agency

          48,978,213             48,978,213  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    6,578,379       168,696,553             175,274,932  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

    10,373,814                   10,373,814  

Mutual Funds

    84,802,886                   84,802,886  

Short-Term Investments

    3,565,840       74,181,275             77,747,115  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    105,320,919       242,877,828             348,198,747  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          2,530,831             2,530,831  

Futures Contracts

         

Interest Rate Risk

    107,585                   107,585  

Swap Contracts

         

Interest Rate Risk

          932,755             932,755  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 105,428,504     $ 246,341,414     $     $ 351,769,918  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (2,702,262   $     $ (2,702,262

Futures Contracts

         

Interest Rate Risk

    (74,992                 (74,992

Swap Contracts

         

Interest Rate Risk

          (1,847,265           (1,847,265
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (74,992   $ (4,549,527   $     $ (4,624,519
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Opportunistic Income Fund

         

Asset Valuation Inputs

         

Debt Obligations

         

Asset-Backed Securities

  $     $ 673,506,946     $ 23,532,338     $ 697,039,284  

U.S. Government

    1,586,332                   1,586,332  

U.S. Government Agency

                10,758,732       10,758,732  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    1,586,332       673,506,946       34,291,070       709,384,348  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

    11,003,541                   11,003,541  

Short-Term Investments

    80,682,747                   80,682,747  

Purchased Options

          328,009             328,009  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    93,272,620       673,834,955       34,291,070       801,398,645  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


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

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ 51,400     $     $ 51,400  

Swap Contracts

         

Credit Risk

          25,304,279             25,304,279  

Interest Rate Risk

          146,309             146,309  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 93,272,620     $ 699,336,943     $ 34,291,070     $ 826,900,633  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (45,825   $     $ (45,825

Futures Contracts

         

Interest Rate Risk

    (5,108                 (5,108

Written Options

         

Credit Risk

          (125,481           (125,481

Swap Contracts

         

Credit Risk

          (11,208,261           (11,208,261

Interest Rate Risk

          (588,522           (588,522
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (5,108   $ (11,968,089   $     $ (11,973,197
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

U.S. Treasury Fund

         

Asset Valuation Inputs

         

Short-Term Investments

  $ 399,182,490     $     $     $ 399,182,490  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    399,182,490                   399,182,490  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 399,182,490     $     $     $ 399,182,490  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

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, Empresa Nacional de Electricidad SA, due 2/01/97 which is valued based on a comparable bond and applying a 200 basis point discount for liquidity considerations 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 125 basis points for liquidity considerations and six asset backed securities which were either adjusted for additional cashflow projections discounted for timing and likelihood of receipt, valued using the latest transaction of a comparable bond, or priced in line with broker marks. There were no other Funds with classes of investments or derivatives with direct material Level 3 holdings at November 30, 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
November 30,
2020
    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as
of November 30,
2020
 

Emerging Country Debt Fund

 

           

Debt Obligations

 

           

Corporate Debt

  $ 29,902,115     $     $     $ (1,212   $     $ (2,301,149   $     $     $ 27,599,754     $ (2,301,149

Foreign Government Agency

    170,402,802             (25,952,601     12,020,817       1,595,536       (59,475,502                 98,591,052       (53,701,875

Foreign Government Obligations

    173,035,182       1,826,440       (8,206,335     19,730,229       812,078       (46,787,236                 140,410,358       (45,941,354

Loan Assignments

    14,402,514       11,639,508       (2,218,039     593,553             (5,974,345                 18,443,191       (5,974,345

Loan Participations

    47,750,729       3,173,040       (7,818,233     1,567,464             (4,146,162                 40,526,838       (4,146,162

Rights/Warrants

    2,082,394                         (6,136,546     4,090,315                   36,163       (415,503
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    437,575,736       16,638,988       (44,195,208     33,910,851       (3,728,932     (114,594,079                 325,607,356       (112,480,388
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives

 

           

Options

    1,036,169                         (193,535     (398,319                 444,315       (39,986
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 438,611,905     $ 16,638,988     $ (44,195,208 ) #    $ 33,910,851     $ (3,922,467   $ (114,992,398   $     $     $ 326,051,671     $ (112,520,374
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 

Opportunistic Income Fund

 

           

Debt Obligations

 

           

Asset-Backed Securities

  $ 25,989,481     $ 30     $ (3,187,783   $ 147,733     $     $ (1,590,248   $ 2,173,125  ‡    $     $ 23,532,338     $ (1,590,248

U.S. Government Agency

    12,228,802             (1,596,250     17,284             108,896                   10,758,732       108,896  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 38,218,283     $ 30  # #    $ (4,784,033 ) # # #    $ 165,017     $     $ (1,481,352   $ 2,173,125     $     $ 34,291,070     $ (1,481,352
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 

 

  #

Includes $14,496,245 of proceeds received from partial calls and/or principal paydowns as applicable.

  ##

Includes $30 of purchases paid as a principal payup.

  ###

Includes $4,784,033 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.


Some Funds have 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 November 30, 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

    45,757,856       Fair Value       Discount for lack of liquidity/marketabilty       1.40% (N/A)  

Corporate Debt

    27,599,754       Fair Value       Discount for lack of liquidity/marketabilty       2.00% (N/A)  

Loan Assignments and Participations

    6,322,726       Fair Value       Discount for lack of liquidity/marketabilty       5.00%-6.00% (5.16%)  

Options

    444,315       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

    4,694,728       Fair Value       Probability and timing of cash flow receipt     25-75% (N/A)  

Asset-Backed Securities

    5,739,000       Fair Value       Broker mark of comparable bond       N/A (N/A)  

Asset-Backed Securities

    9,240,858       Fair Value       Trade correlation with observed comparable bond     N/A (N/A)  

Government Agency

    10,758,732       Fair Value       Discount for lack of liquidity/marketabilty       1.25% (N/A)  

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of November 30, 2020, the value of these securities and/or derivatives for Emerging Country Debt Fund and Opportunistic Income Fund was $245,927,020 and $3,857,752, 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. A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended November 30, 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
 
Asset Allocation Bond Fund        

GMO U.S. Treasury Fund

  $ 8,656,379     $ 13,843,172     $ 18,030,000     $ 13,411     $     $ 59,580     $ (19,842   $ 4,509,289  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Emerging Country Debt Fund        

GMO U.S. Treasury Fund

  $ 74,487,484     $     $     $ 142,870     $     $     $ 296,763     $ 74,784,247  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
High Yield Fund        

GMO U.S. Treasury Fund

  $ 385,180     $ 28,755,749     $ 29,171,591     $ 7,267     $     $ 30,662     $

 
  $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Multi-Sector Fixed Income Fund (formerly Core Plus Bond Fund)        

GMO Emerging Country Debt Fund, Class IV

  $ 29,316,657     $     $ 11,500,000     $ 285,841     $ 220,820     $ (1,411,857   $ 809,714     $ 17,214,514  

GMO Opportunistic Income Fund, Class VI

    108,395,452             42,000,000       780,717             (221,529     (161,003     66,012,920  

GMO U.S. Treasury Fund

    4,517,130       182,200,000       185,190,000       27,640             52,340       (4,018     1,575,452  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 142,229,239     $ 182,200,000     $ 238,690,000     $ 1,094,198     $ 220,820     $ (1,581,046   $ 644,693     $ 84,802,886  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Opportunistic Income Fund        

GMO U.S. Treasury Fund

  $ 10,256,103     $ 18,500,000     $ 17,773,000     $ 12,072     $     $ 61,299     $ (40,861   $ 11,003,541  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2020 through November 30, 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

Subsequent to November 30, 2020, GMO High Yield Fund and GMO Multi-Sector Fixed Income Fund received redemption requests in the amounts of $86,883,319 and $142,010,602, respectively.

* * *

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)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 93.0%

 

          Argentina — 0.9%  
    366,715     Adecoagro SA *     2,266,299  
     

 

 

 
          Australia — 1.6%  
    5,400,000     Clean TeQ Holdings Ltd *     1,080,206  
    707,712     Sandfire Resources NL     2,277,786  
    141,824     Tassal Group Ltd     376,775  
    302,161     Western Areas Ltd (a)     498,495  
     

 

 

 
    Total Australia     4,233,262  
     

 

 

 
          Brazil — 1.4%  
    245,000     Duratex SA     858,831  
    444,778     Sao Martinho SA     2,172,666  
    139,200     SLC Agricola SA     699,196  
     

 

 

 
    Total Brazil     3,730,693  
     

 

 

 
          Canada — 6.1%  
    168,563     Canadian Solar Inc * (a)     7,207,754  
    989,315     Ivanhoe Mines Ltd – Class A *     4,631,582  
    2,322,300     Largo Resources Ltd * (a)     1,895,463  
    107,500     Lundin Mining Corp     859,205  
    76,100     NFI Group Inc (a)     1,150,260  
     

 

 

 
    Total Canada     15,744,264  
     

 

 

 
          China — 6.2%  
    647,400     CECEP Solar Energy Co Ltd – Class A     474,926  
    1,543,000     Chaowei Power Holdings Ltd     648,332  
    2,989,919     China High Speed Transmission Equipment Group Co Ltd     2,148,021  
    938,000     China Longyuan Power Group Corp Ltd – Class H     792,461  
    2,040,000     China Suntien Green Energy Corp Ltd – Class H     539,771  
    1,030,000     China Water Affairs Group Ltd     810,491  
    78,100     Hollysys Automation Technologies Ltd     984,841  
    1,944,000     Sinofert Holdings Ltd *     190,335  
    218,822     Sungrow Power Supply Co Ltd – Class A     1,597,722  
    1,338,000     Tianneng Power International Ltd     2,807,254  
    1,194,000     Wasion Group Holdings Ltd     339,090  
    1,017,400     Xinjiang Goldwind Science & Technology Co Ltd – Class H     1,636,878  
    555,776     Zhengzhou Yutong Bus Co Ltd – Class A     1,466,603  
    455,285     Zhuzhou CRRC Times Electric Co Ltd – Class H     1,432,851  
     

 

 

 
    Total China     15,869,576  
     

 

 

 
          Denmark — 1.1%  
    1,706     Rockwool International A/S – Class B     622,136  
    10,719     Vestas Wind Systems A/S     2,184,677  
     

 

 

 
    Total Denmark     2,806,813  
     

 

 

 
          Finland — 3.4%  
    60,134     Kemira Oyj     859,668  
    117,088     Neste Oyj     7,823,851  
     

 

 

 
    Total Finland     8,683,519  
     

 

 

 
     Shares     Description   Value ($)  
          France — 7.0%  
    8,409     Albioma SA     426,978  
    202,802     Electricite de France SA *     3,081,755  
    31,420     Nexans SA *     1,979,430  
    8,473     Schneider Electric SE     1,180,505  
    29,713     STMicroelectronics NV     1,180,691  
    148,665     Suez     2,843,788  
    80,435     Valeo SA     3,103,168  
    144,951     Veolia Environnement SA     3,325,046  
    16,484     Vilmorin & Cie SA     980,180  
     

 

 

 
    Total France     18,101,541  
     

 

 

 
          Germany — 3.2%  
    19,251     CENTROTEC Sustainable AG *     344,375  
    174,609     E.ON SE     1,889,354  
    6,894     Infineon Technologies AG     243,227  
    257,099     K+S AG (Registered)     2,311,113  
    209     Knorr-Bremse AG     26,754  
    25,095     Siemens AG (Registered)     3,349,546  
     

 

 

 
    Total Germany     8,164,369  
     

 

 

 
          India — 0.4%  
    854,622     Jain Irrigation Systems Ltd *     223,918  
    267,776     Power Grid Corp of India Ltd     689,565  
     

 

 

 
    Total India     913,483  
     

 

 

 
          Israel — 0.3%  
    140,867     ICL Group Ltd     669,961  
     

 

 

 
          Italy — 3.2%  
    481,999     Enel SPA     4,835,810  
    107,025     Prysmian SPA     3,522,917  
     

 

 

 
    Total Italy     8,358,727  
     

 

 

 
          Japan — 5.8%  
    1,300     Daikin Industries Ltd     294,437  
    64,900     Ebara Corp     2,069,883  
    79,000     GS Yuasa Corp     1,903,170  
    21,500     Iseki & Co Ltd     281,713  
    53,200     Kurita Water Industries Ltd     1,962,786  
    15,900     METAWATER Co Ltd     360,156  
    67,100     Osaki Electric Co Ltd     353,911  
    292,700     Panasonic Corp     3,104,240  
    243,200     Renesas Electronics Corp *     2,155,143  
    19,700     Sanken Electric Co Ltd     716,466  
    66,400     Takuma Co Ltd     1,137,125  
    41,000     Tsukishima Kikai Co Ltd     472,055  
     

 

 

 
    Total Japan     14,811,085  
     

 

 

 
          Mexico — 2.6%  
    1,789,252     Grupo Mexico SAB de CV     6,507,095  
    294,816     Grupo Rotoplas SAB de CV * (a)     316,694  
     

 

 

 
    Total Mexico     6,823,789  
     

 

 

 
 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Netherlands — 0.8%  
    68,578     Arcadis NV * (a)     2,094,587  
     

 

 

 
          Norway — 1.5%  
    354,472     Austevoll Seafood ASA     3,223,401  
    38,208     Grieg Seafood ASA * (a)     328,221  
    4,858     Salmar ASA *     265,553  
     

 

 

 
    Total Norway     3,817,175  
     

 

 

 
          Pakistan — 0.3%  
    1,088,535     Fauji Fertilizer Co Ltd     704,754  
     

 

 

 
          Portugal — 1.4%  
    651,588     EDP – Energias de Portugal SA     3,482,908  
     

 

 

 
          Russia — 4.7%  
    254,757     MMC Norilsk Nickel PJSC ADR     7,065,341  
    297,118     PhosAgro PJSC GDR (Registered)     3,795,034  
    116,061     Ros Agro Plc GDR (Registered)     1,235,694  
     

 

 

 
    Total Russia     12,096,069  
     

 

 

 
          Spain — 2.4%  
    9,324     Acciona SA (a)     1,188,986  
    3,147     Construcciones y Auxiliar de Ferrocarriles SA *     132,296  
    82,895     Endesa SA     2,382,615  
    17,541     Fomento de Construcciones y Contratas SA     185,706  
    76,226     Red Electrica Corp SA     1,558,293  
    129,990     Talgo SA *     635,306  
     

 

 

 
    Total Spain     6,083,202  
     

 

 

 
          Sweden — 0.3%  
    18,234     Holmen AB – B Shares     789,657  
     

 

 

 
          Switzerland — 1.3%  
    992     Gurit Holding AG     2,496,645  
    12,914     Landis+Gyr Group AG *     929,979  
     

 

 

 
    Total Switzerland     3,426,624  
     

 

 

 
          Taiwan — 0.2%  
    82,000     Delta Electronics Inc     646,454  
     

 

 

 
          Thailand — 0.2%  
    738,600     SPCG Pcl     524,822  
     

 

 

 
          Ukraine — 0.7%  
    137,904     Kernel Holding SA     1,782,972  
     

 

 

 
          United Kingdom — 2.3%  
    47,400     Abengoa Yield Plc     1,630,086  
    300,364     Drax Group Plc     1,311,520  
    85,071     Go-Ahead Group Plc *     921,067  
    45,574     Polypipe Group Plc *     298,454  
     Shares     Description   Value ($)  
          United Kingdom — continued  
    2,220,793     Renewi Plc *     983,214  
    938,643     Stagecoach Group Plc     753,268  
     

 

 

 
    Total United Kingdom     5,897,609  
     

 

 

 
          United States — 33.7%  
    34,000     AGCO Corp.     3,145,340  
    8,260     Albemarle Corp.     1,123,112  
    121,794     BorgWarner, Inc.     4,731,697  
    193,596     Darling Ingredients, Inc. *     9,346,815  
    25,100     Eaton Corp Plc     3,039,861  
    14,900     Edison International     914,264  
    24,600     EnerSys     2,012,526  
    36,209     Enphase Energy, Inc. *     4,945,063  
    43,700     Exelon Corp.     1,794,759  
    50,289     First Solar, Inc. *     4,698,501  
    241,632     Freeport-McMoRan, Inc.     5,651,773  
    69,000     FutureFuel Corp.     827,310  
    1,327,192     GrafTech International Ltd.     10,484,817  
    90,500     Livent Corp. * (a)     1,372,885  
    296,047     Mosaic Co. (The)     6,501,192  
    20,600     MYR Group, Inc. *     1,053,278  
    73,779     ON Semiconductor Corp. *     2,121,146  
    47,600     Owens Corning     3,468,612  
    145,328     Renewable Energy Group, Inc. *     8,440,650  
    20,000     Rexnord Corp.     750,200  
    30,344     SolarEdge Technologies, Inc. *     8,435,025  
    10,529     TE Connectivity Ltd.     1,199,990  
    3,900     Valmont Industries, Inc.     635,622  
     

 

 

 
    Total United States     86,694,438  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $193,451,496)
    239,218,652  
     

 

 

 
          PREFERRED STOCKS (b) — 2.0%  
          Chile — 2.0%  
    108,011     Sociedad Quimica y Minera de Chile SA Sponsored ADR     5,084,078  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $3,382,757)
    5,084,078  
     

 

 

 
          MUTUAL FUNDS — 4.7%  
          United States — 4.7%  
          Affiliated Issuers — 4.7%  
    2,418,493     GMO U.S. Treasury Fund (c)     12,189,207  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $12,189,207)
    12,189,207  
     

 

 

 
 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.2%  
          Money Market Funds — 0.2%  
    393,103     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (d)     393,103  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $393,103)
    393,103  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $209,416,563)
    256,885,040  
    Other Assets and Liabilities (net) — 0.1%     227,417  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $257,112,457  
     

 

 

 

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 November 30, 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)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 94.5%

 

          Canada — 4.9%  
    85,680     Brookfield Asset Management Inc – Class A     3,469,183  
    62,600     Nutrien Ltd     3,084,302  
     

 

 

 
    Total Canada     6,553,485  
     

 

 

 
          Finland — 3.5%  
    70,072     Neste Oyj     4,682,230  
     

 

 

 
          France — 8.6%  
    4,483     Kering SA     3,236,594  
    6,282     LVMH Moet Hennessy Louis Vuitton SE     3,608,353  
    32,736     Safran SA *     4,772,058  
     

 

 

 
    Total France     11,617,005  
     

 

 

 
          Ireland — 2.8%  
    209,244     Ryanair Holdings Plc *     3,813,389  
     

 

 

 
          Mexico — 5.9%  
    449,700     Fomento Economico Mexicano SAB de CV     3,248,659  
    1,306,800     Grupo Mexico SAB de CV Series B     4,752,529  
     

 

 

 
    Total Mexico     8,001,188  
     

 

 

 
          Russia — 4.2%  
    40,975     LUKOIL PJSC Sponsored ADR     2,637,772  
    19,632     Novatek PJSC Sponsered GDR (Registered)     3,020,536  
    Total Russia     5,658,308  
          Spain — 5.2%  
    51,047     Amadeus IT Group SA     3,510,218  
    107,679     Industria de Diseno Textil SA     3,574,337  
     

 

 

 
    Total Spain     7,084,555  
     

 

 

 
          United Kingdom — 12.0%  
    60,943     Berkeley Group Holdings Plc (The)     3,725,059  
    244,681     Compass Group Plc     4,305,324  
    121,417     Persimmon Plc     4,260,794  
    248,477     Royal Dutch Shell Plc – B Shares     3,990,660  
     

 

 

 
    Total United Kingdom     16,281,837  
     

 

 

 
          United States — 47.4%  
    39,376     American Express Co.     4,669,600  
    1,700     Booking Holdings, Inc. *     3,448,365  
    98,400     BorgWarner, Inc.     3,822,840  
    74,127     Charles Schwab Corp. (The)     3,615,915  
    32,500     Chevron Corp.     2,833,350  
    49,948     Coca-Cola Co. (The)     2,577,317  
     Shares     Description   Value ($)  
          United States — continued  
    73,552     EOG Resources, Inc.     3,448,118  
    31,700     Hasbro, Inc.     2,949,051  
    29,822     Hilton Worldwide Holdings, Inc.     3,090,454  
    15,400     Honeywell International, Inc.     3,140,368  
    52,463     Las Vegas Sands Corp.     2,922,714  
    94,800     Lyft, Inc. – Class A *     3,618,516  
    3,137     Markel Corp. *     3,054,905  
    54,882     Raytheon Technologies Corp.     3,936,137  
    93,287     Sensata Technologies Holding Plc *     4,555,204  
    110,985     US Bancorp     4,795,662  
    74,288     Verso Corp. – Class A     803,053  
    49,423     VF Corp.     4,121,878  
    97,579     Wells Fargo & Co.     2,668,785  
     

 

 

 
    Total United States     64,072,232  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $101,218,724)
    127,764,229  
     

 

 

 
          PREFERRED STOCKS (a) — 3.1%  
          Brazil — 3.1%  
    392,800     Bradespar SA     4,259,842  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $2,219,286)
    4,259,842  
     

 

 

 
          MUTUAL FUNDS — 2.1%  
          United States — 2.1%  
          Affiliated Issuers — 2.1%      
    571,032     GMO U.S. Treasury Fund     2,878,000  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $2,878,000)
    2,878,000  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.2%  
          Money Market Funds — 0.2%  
    251,996     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (b)     251,996  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $251,996)
    251,996  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $106,568,006)
    135,154,067  
    Other Assets and Liabilities (net) — 0.1%     95,055  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $135,249,122  
     

 

 

 
 

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 November 30, 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)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          COMMON STOCKS — 77.7%  
          Brazil — 2.6%  
    1,146,700     Atacadao SA     4,304,352  
    653,000     B3 SA—Brasil Bolsa Balcao     6,841,544  
    1,186,500     JHSF Participacoes SA     1,625,585  
    472,300     Movida Participacoes SA     1,729,669  
    15,968,800     Oi SA *     6,319,083  
    521,900     Telefonica Brasil SA     4,359,396  
     

 

 

 
    Total Brazil     25,179,629  
     

 

 

 
          China — 31.0%  
    606,500     Alibaba Group Holding Ltd *     19,924,561  
    145,076     Alibaba Group Holding Ltd Sponsored ADR *     38,207,215  
    427,090     Anhui Conch Cement Co Ltd – Class H     2,729,901  
    19,600     Autohome Inc ADR     1,850,632  
    330,100     Bank of Ningbo Co Ltd – Class A     1,852,040  
    434,800     Beijing Oriental Yuhong Waterproof Technology Co Ltd – Class A     2,258,196  
    44,000     Bilibili, Inc. Sponsored ADR *     2,765,840  
    265,000     Chacha Food Co Ltd – Class A     2,171,444  
    2,268,502     China Merchants Bank Co Ltd – Class H     14,378,374  
    1,335,880     Focus Media Information Technology Co Ltd – Class A     1,965,914  
    380,565     Gree Electric Appliances Inc of Zhuhai – Class A     3,848,984  
    1,834,000     Guangzhou Automobile Group Co Ltd – Class H     1,972,260  
    299,100     Han’s Laser Technology Industry Group Co Ltd – Class A     1,797,188  
    284,800     JD.com Inc ADR *     24,307,680  
    330,200     JD.com Inc – Class A *     14,170,097  
    390,947     Jiangsu Hengli Hydraulic Co Ltd – Class A     5,446,764  
    33,587     Kweichow Moutai Co Ltd – Class A     8,734,910  
    455,500     Longfor Group Holdings Ltd     2,976,613  
    241,000     Lufax Holding Ltd ADR*     3,969,270  
    284,600     Luxshare Precision Industry Co Ltd – Class A     2,236,718  
    300,000     Meituan – Class B *     11,218,921  
    1,435,600     MGM China Holdings Ltd     2,089,376  
    232,021     Midea Group Co Ltd – Class A     3,056,201  
    28,400     NetEase Inc     528,524  
    62,900     NetEase Inc ADR     5,684,273  
    29,100     New Oriental Education & Technology Group Inc Sponsored ADR *     4,797,135  
    20,200     Pinduoduo, Inc ADR*     2,803,962  
    1,449,246     Ping An Insurance Group Co of China Ltd – Class H     17,045,376  
    26,300     QUALCOMM, Inc     3,870,571  
    52,883     Shenzhen Mindray Bio-Medical Electronics Co Ltd – Class A     2,705,181  
    342,200     Shenzhou International Group Holdings Ltd     5,751,517  
    515,362     Suofeiya Home Collection Co Ltd – Class A     2,137,466  
    82,700     TAL Education Group ADR *     5,793,962  
         
Shares
    Description   Value ($)  
          China — continued  
    837,684     Tencent Holdings Ltd     61,065,219  
    153,430     Wuliangye Yibin Co Ltd – Class A     5,917,400  
    381,400     Xiaomi Corp – Class B *     1,302,150  
    99,600     Yum China Holdings Inc     5,615,448  
    327,000     Zhongsheng Group Holdings Ltd     2,458,617  
     

 

 

 
    Total China     301,405,900  
     

 

 

 
          France — 0.2%  
    5,956     L’Oreal SA     2,192,380  
     

 

 

 
          Greece — 0.2%  
    1,260,356     National Bank of Greece SA *     2,265,103  
     

 

 

 
          Hong Kong — 0.9%  
    796,400     AIA Group Ltd     8,739,998  
     

 

 

 
          Hungary — 0.2%  
    40,400     OTP Bank Plc *     1,607,887  
     

 

 

 
          India — 9.2%  
    54,337     Apollo Hospitals Enterprise Ltd     1,691,747  
    1,492,887     Ashok Leyland Ltd     1,838,624  
    340,804     Aurobindo Pharma Ltd     3,959,167  
    559,310     Bandhan Bank Ltd *     2,742,800  
    348,736     Central Depository Services India Ltd     2,304,546  
    215,589     Cipla Ltd     2,145,043  
    3,904,869     Gayatri Projects Ltd *     1,693,711  
    570,610     HCL Technologies Ltd     6,306,692  
    437,684     HDFC Bank Ltd *     8,436,304  
    222,626     HDFC Life Insurance Co Ltd *     1,930,084  
    1,255,876     ICICI Bank Ltd *     8,021,583  
    204,000     ICICI Bank Ltd Sponsored ADR *     2,623,440  
    15,137     IndiaMART InterMESH Ltd     1,034,764  
    393,407     IndusInd Bank Ltd *     4,519,084  
    461,034     Infosys Ltd     6,963,015  
    162,100     Infosys Ltd Sponsored ADR     2,467,162  
    48,168     Ipca Laboratories Ltd     1,440,096  
    254,806     Muthoot Finance Ltd     3,927,774  
    93,009     Reliance Industries Ltd     2,418,439  
    368,821     SBI Cards & Payment Services Ltd     3,955,667  
    82,767     Tata Consultancy Services Ltd     2,972,221  
    297,873     Tata Consumer Products Ltd     2,145,263  
    508,238     Tech Mahindra Ltd     5,907,108  
    52,932     Torrent Pharmaceuticals Ltd     1,866,219  
    938,532     Wipro Ltd     4,440,452  
    8,547,592     Yes Bank Ltd *     1,696,126  
     

 

 

 
    Total India     89,447,131  
     

 

 

 
          Indonesia — 0.6%  
    2,647,700     Bank Central Asia Tbk PT     5,815,259  
     

 

 

 
 


GMO Emerging Domestic Opportunities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Japan — 0.2%  
    9,500     Daikin Industries Ltd     2,151,652  
     

 

 

 
          Mexico — 0.6%  
    2,176,424     Wal-Mart de Mexico SAB de CV     5,729,061  
     

 

 

 
          Philippines — 1.3%  
    478,700     BDO Unibank Inc     1,029,796  
    220,410     GT Capital Holdings Inc     2,657,811  
    88,170     PLDT Inc     2,409,539  
    2,652,480     Puregold Price Club Inc     2,324,771  
    449,500     Security Bank Corp     1,166,345  
    9,925,400     Semirara Mining & Power Corp     2,557,261  
     

 

 

 
    Total Philippines     12,145,523  
     

 

 

 
          Poland — 0.2%  
    118,225     Bank Polska Kasa Opieki SA *     1,789,467  
     

 

 

 
          Russia — 2.4%  
    1,002,290     Detsky Mir PJSC     1,843,105  
    1,348,600     Moscow Exchange MICEX-RTS PJSC     2,706,666  
    405,868     Sberbank of Russia PJSC Sponsored ADR     5,354,041  
    119,850     X5 Retail Group NV GDR (Registered)     4,288,958  
    131,500     Yandex NV – Class A *     9,068,240  
     

 

 

 
    Total Russia     23,261,010  
     

 

 

 
          South Africa — 0.5%  
    1,606,023     FirstRand Ltd     4,710,253  
     

 

 

 
          South Korea — 10.2%  
    17,195     E-MART Inc     2,391,086  
    6,613     Kakao Corp     2,203,969  
    155,570     KB Financial Group Inc     6,431,288  
    1,893     LG Household & Health Care Ltd     2,587,604  
    7,449     NAVER Corp     1,875,347  
    1,200,851     Samsung Electronics Co Ltd     72,388,204  
    73,550     Shinhan Financial Group Co Ltd     2,165,749  
    102,891     SK Hynix Inc     9,066,581  
     

 

 

 
    Total South Korea     99,109,828  
     

 

 

 
          Taiwan — 14.2%  
    335,458     Advantech Co Ltd     3,607,233  
    172,000     Airtac International Group     5,014,799  
    3,660,000     CTBC Financial Holding Co Ltd     2,461,767  
    1,107,000     Delta Electronics Inc     8,727,126  
    1,455,000     E Ink Holdings Inc     2,097,330  
    4,191,991     E.Sun Financial Holding Co Ltd     3,709,554  
    235,000     MediaTek Inc     5,803,312  
    765,000     Micro-Star International Co Ltd     3,350,497  
    1,596,000     Pegatron Corp     3,651,572  
    2,095,000     Quanta Computer Inc     5,654,897  
    512,000     Sinbon Electronics Co Ltd     3,503,068  
    3,162,385     Taiwan Cement Corp     4,759,300  
         
Shares
    Description   Value ($)  
          Taiwan — continued  
    4,729,800     Taiwan Semiconductor Manufacturing Co Ltd     80,509,849  
    3,289,000     Wistron Corp     3,440,128  
    142,000     Yageo Corp     2,201,735  
     

 

 

 
    Total Taiwan     138,492,167  
     

 

 

 
          Thailand — 0.7%  
    649,800     Advanced Info Service Pcl (Foreign Registered)     3,770,347  
    1,579,200     CP ALL Pcl (Foreign Registered) *     3,158,335  
     

 

 

 
    Total Thailand     6,928,682  
     

 

 

 
          United States — 1.3%  
    30,100     Apple, Inc.     3,583,405  
    12,450     Facebook, Inc. – Class A *     3,448,277  
    37,900     PepsiCo, Inc.     5,466,317  
     

 

 

 
    Total United States     12,497,999  
     

 

 

 
          Vietnam — 1.2%  
    1,982,170     Bank for Foreign Trade of Vietnam JSC     7,973,778  
    839,690     Vietnam Dairy Products JSC     3,923,126  
    Total Vietnam     11,896,904  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $634,627,412)
    755,365,833  
     

 

 

 
          PREFERRED STOCKS (a) — 1.9%  
          Brazil — 1.9%  
    297,900     Azul SA*     2,114,114  
    3,040,900     Itau Unibanco Holding SA     16,210,868  
     

 

 

 
    Total Brazil     18,324,982  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $15,792,281)
    18,324,982  
     

 

 

 
          INVESTMENT FUNDS — 17.8%  
          China — 5.4%  
    967,500     iShares China Large-Cap ETF     45,472,500  
    87,000     iShares MSCI China ETF     6,943,470  
     

 

 

 
    Total China     52,415,970  
     

 

 

 
          Mexico — 1.2%  
    277,700     iShares MSCI Mexico ETF     11,266,289  
     

 

 

 
          Russia — 2.0%  
    868,200     VanEck Vectors Russia ETF     19,794,960  
     

 

 

 
          South Korea — 0.4%  
    133,330     Samsung Kodex 200 ETF     4,181,007  
     

 

 

 
          United States — 8.8%  
    1,459,223     iShares Core MSCI Emerging Markets ETF     85,539,652  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $162,610,499)
    173,197,878  
     

 

 

 
 


GMO Emerging Domestic Opportunities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares /
Par Value†
    Description   Value ($)  
          MUTUAL FUNDS — 1.7%  
          United States — 1.7%  
          Affiliated Issuers — 1.7%  
    3,209,497     GMO U.S. Treasury Fund     16,175,866  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $16,175,866)
    16,175,866  
     

 

 

 
          SHORT-TERM INVESTMENTS — 1.0%  
          Money Market Funds — 0.5%  
    5,147,922     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (b)     5,147,922  
     

 

 

 
    Total Money Market Funds     5,147,922  
     

 

 

 
          U.S. Government — 0.5%  
    5,000,000     U.S. Treasury Bill, 0.07%, due 01/14/21 (c) (d)     4,999,557  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $10,147,087)
    10,147,479  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $839,353,145)
    973,212,038  
    Other Assets and Liabilities (net) — (0.1%)     (991,814
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $972,220,224  
     

 

 

 

A summary of outstanding financial instruments at November 30, 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       (2,209,109
02/25/2021   MSCI   USD     48,894,048     THB     1,537,784,049       1,925,048  
           

 

 

 
            $ (284,061
           

 

 

 
 

 

As of November 30, 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)

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 November 30, 2020.

 

(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 shown represents yield-to-maturity.

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

PJSC - Private Joint-Stock Company

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)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    COMMON STOCKS — 91.8%

 

          Argentina — 0.4%  
    228,200     Banco BBVA Argentina SA ADR * (a)     730,240  
    16,800     Banco Macro SA ADR *     268,296  
    47,400     Globant SA *     8,943,432  
    351,800     Grupo Financiero Galicia SA ADR     3,028,998  
     

 

 

 
    Total Argentina     12,970,966  
     

 

 

 
          Brazil — 0.6%  
    3,075,000     Cielo SA     2,037,602  
    2,364,400     Cogna Educacao *     2,069,854  
    1,695,300     IRB Brasil Resseguros SA     2,098,002  
    241,400     Porto Seguro SA     2,135,805  
    688,600     WEG SA     9,456,136  
     

 

 

 
    Total Brazil     17,797,399  
     

 

 

 
          Chile — 0.1%  
    4,443,378     Aguas Andinas SA – Class A     1,288,865  
    132,686     Empresa Nacional de Telecomunicaciones SA     804,580  
    49,617     Inversiones La Construccion SA     309,877  
     

 

 

 
    Total Chile     2,403,322  
     

 

 

 
          China — 36.8%  
    4,972,000     361 Degrees International Ltd     622,663  
    1,488,000     Agile Group Holdings Ltd     2,148,436  
    97,037,590     Agricultural Bank of China Ltd – Class H     36,844,601  
    92,000     AK Medical Holdings Ltd     144,931  
    121,900     Alibaba Group Holding Ltd *     4,004,623  
    657,826     Alibaba Group Holding Ltd Sponsored ADR *     173,245,055  
    2,889,699     Anhui Conch Cement Co Ltd – Class H     18,470,562  
    1,369,199     Anhui Expressway Co Ltd – Class H     780,176  
    424,000     Asia Cement China Holdings Corp     423,337  
    5,682,500     BAIC Motor Corp Ltd – Class H     2,126,067  
    57,582,682     Bank of China Ltd – Class H     20,324,178  
    1,696,425     Beijing North Star Co Ltd – Class H     352,194  
    733,200     BEST Inc ADR *     2,148,276  
    642,500     Budweiser Brewing Co APAC Ltd     2,205,705  
    419,426     BYD Co Ltd – Class A     10,910,805  
    389,500     BYD Electronic International Co Ltd     1,926,650  
    9,673,878     China Communications Services Corp Ltd – Class H     5,155,427  
    132,088,148     China Construction Bank Corp – Class H     103,257,603  
    3,945,000     China Dongxiang Group Co Ltd     457,974  
    4,564,000     China Eastern Airlines Corp Ltd – Class H     2,060,882  
    9,196,000     China Feihe Ltd     21,961,949  
    532,300     China International Travel Service Corp Ltd – Class A     15,597,543  
    7,546,000     China Jinmao Holdings Group Ltd     3,888,704  
    174,000     China Kepei Education Group Ltd     134,757  
    2,357,000     China Lesso Group Holdings Ltd     4,213,112  
    934,000     China Life Insurance Co Ltd – Class H     2,107,773  
    9,465,000     China Machinery Engineering Corp – Class H     1,978,928  
    1,104,000     China Medical System Holdings Ltd     1,127,252  
         
Shares
    Description   Value ($)  
          China — continued  
    115,464     China Merchants Bank Co Ltd – Class A     775,934  
    4,636,000     China Oriental Group Co Ltd     1,389,343  
    1,165,000     China Overseas Grand Oceans Group Ltd     694,818  
    6,801,500     China Overseas Land & Investment Ltd     16,560,211  
    4,783,000     China Railway Signal & Communication Corp Ltd – Class H     1,696,964  
    15,241,000     China Reinsurance Group Corp – Class H     1,612,378  
    5,412,000     China Resources Cement Holdings Ltd     6,721,312  
    356,000     China Resources Gas Group Ltd     1,715,806  
    6,486,000     China Resources Land Ltd     28,069,382  
    550,000     China SCE Group Holdings Ltd     251,858  
    4,589,500     China Shenhua Energy Co Ltd – Class H     8,851,657  
    90,781     China Vanke Co Ltd – Class H     344,800  
    48,000     Chinasoft International Ltd *     50,825  
    4,884,000     COSCO Shipping Energy Transportation Co Ltd – Class H     2,148,669  
    10,376,714     Country Garden Holdings Co Ltd     13,683,651  
    260,000     Country Garden Services Holdings Co Ltd     1,452,746  
    3,058,000     Dongyue Group Ltd     1,595,020  
    300     ENN Energy Holdings Ltd     3,958  
    163,000     Fu Shou Yuan International Group Ltd     164,051  
    5,052,000     Geely Automobile Holdings Ltd     13,975,996  
    2,127,000     Greenland Hong Kong Holdings Ltd     657,487  
    7,196,000     Guangdong Investment Ltd     11,931,671  
    8,400     Guangdong Tapai Group Co Ltd – Class A     17,455  
    1,488,600     Guotai Junan Securities Co Ltd – Class H     2,192,838  
    413,000     Haier Electronics Group Co Ltd     1,968,817  
    166,000     Haitian International Holdings Ltd     449,721  
    679,922     Hangzhou Robam Appliances Co Ltd – Class A     4,123,867  
    1,856,500     Hebei Construction Group Corp Ltd – Class H     5,269,799  
    36,000     Hengan International Group Co Ltd     247,607  
    6,404,568     Hisense Home Appliances Group Co Ltd – Class A     14,538,257  
    313,000     Hisense Home Appliances Group Co Ltd – Class H     470,450  
    240,000     Hollysys Automation Technologies Ltd     3,026,400  
    64,000     Hopson Development Holdings Ltd     167,193  
    10,248,000     Hua Han Health Industry Holdings Ltd *(b)     687,515  
    1,152,342     Huayu Automotive Systems Co Ltd – Class A     5,465,260  
    88,472,847     Industrial & Commercial Bank of China Ltd – Class H     55,890,497  
    2,200     KE Holdings Inc ADR *     143,726  
    1,557,500     Kingboard Laminates Holdings Ltd     2,512,673  
    68,707     Kweichow Moutai Co Ltd – Class A     17,868,504  
    922,250     KWG Living Group Holdings Ltd *     713,903  
    3,317,500     KWG Property Holding Ltd     4,538,602  
    1,213,500     Legend Holdings Corp – Class H     1,650,136  
    387,800     Livzon Pharmaceutical Group Inc – Class H     1,527,720  
    3,227,000     Logan Group Co Ltd     5,402,200  
    2,486,000     Longfor Group Holdings Ltd     16,245,578  
    3,868,000     Lonking Holdings Ltd     1,116,873  
    293,700     Lufax Holding Ltd ADR*     4,837,239  
    550,506     Midea Group Co Ltd – Class A     7,251,313  
    186,100     NetEase Inc     3,463,320  
    783,500     NetEase Inc ADR     70,804,895  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          China — continued  
    670,693     New China Life Insurance Co Ltd – Class A     6,251,375  
    1,673,000     PAX Global Technology Ltd     1,039,629  
    30,949,000     PICC Property & Casualty Co Ltd – Class H     25,536,302  
    3,783,000     Postal Savings Bank of China Co Ltd – Class H     2,138,286  
    5,848,400     Qingling Motors Co Ltd – Class H     1,147,310  
    181,000     Road King Infrastructure Ltd     242,849  
    3,606,000     Shanghai Electric Group Co Ltd – Class H *     1,037,457  
    668,000     Shanghai Industrial Holdings Ltd     992,815  
    1,632,000     Shenzhen Expressway Co Ltd – Class H     1,627,568  
    3,750,789     Shenzhen Investment Ltd     1,372,816  
    3,467,481     Shenzhen YUTO Packaging Technology Co Ltd – Class A     13,853,742  
    5,287,000     Shimao Group Holdings Ltd     19,705,587  
    4,439,000     Sino-Ocean Land Holdings Ltd     933,495  
    1,669,000     Sinopec Engineering Group Co Ltd – Class H     738,567  
    6,434,000     Sinopec Shanghai Petrochemical Co Ltd – Class H     1,427,739  
    2,134,000     Sinotruk Hong Kong Ltd     5,317,763  
    3,523,500     SOHO China Ltd *     1,095,546  
    4,999,924     Suofeiya Home Collection Co Ltd – Class A     20,737,203  
    893,665     Tencent Holdings Ltd     65,146,104  
    15,900     Tencent Holdings Ltd ADR     1,160,700  
    2,218,000     Tianneng Power International Ltd     4,653,579  
    1,507,900     Vipshop Holdings Ltd ADR *     38,511,766  
    11,148,676     Weifu High-Technology Group Co Ltd – Class A     43,901,583  
    40,443     Wuhu Sanqi Interactive Entertainment Network Technology Group Co Ltd – Class A     160,688  
    1,472,200     Xiaomi Corp – Class B *     5,026,286  
    220,000     Xinyi Glass Holdings Ltd     493,392  
    1,677,500     Xtep International Holdings Ltd     713,651  
    42,656,300     Yangzijiang Shipbuilding Holdings Ltd     27,718,882  
    3,064,000     Yuzhou Group Holdings Co Ltd     1,217,528  
    363,667     Zhejiang Supor Co Ltd – Class A     3,868,154  
    1,609,500     Zhongsheng Group Holdings Ltd     12,101,358  
    1,444,800     Zhuzhou Kibing Group Co Ltd – Class A     2,554,101  
     

 

 

 
    Total China     1,097,984,879  
     

 

 

 
          Czech Republic — 0.1%  
    634,781     Moneta Money Bank AS *     1,885,887  
     

 

 

 
          Egypt — 0.0%  
    42,517     Commercial International Bank Egypt SAE     169,402  
     

 

 

 
          Greece — 0.0%  
    96,241     Motor Oil Hellas Corinth Refineries SA     1,229,520  
     

 

 

 
          Hungary — 0.0%  
    15,348     Richter Gedeon Nyrt     363,719  
     

 

 

 
          India — 3.3%  
    256,987     Asian Paints Ltd     7,595,964  
    14,229     Bosch Ltd     2,441,698  
    11,567,064     Gayatri Projects Ltd * (c)     5,017,136  
         
Shares
    Description   Value ($)  
          India — continued  
    598,198     HCL Technologies Ltd     6,611,609  
    230,960     HDFC Bank Ltd *     4,451,725  
    2     Hero MotoCorp Ltd     83  
    261,937     Hindustan Unilever Ltd     7,537,423  
    252,428     Housing Development Finance Corp Ltd     7,594,809  
    1,332,810     ICICI Bank Ltd *     8,512,979  
    476,400     Infosys Ltd Sponsored ADR     7,250,808  
    3,013,682     Jai Balaji Industries Ltd *     774,191  
    1,322,083     Kiri Industries Ltd     9,209,874  
    386,197     Kotak Mahindra Bank Ltd *     9,776,119  
    563,047     LIC Housing Finance Ltd     2,498,336  
    60     Muthoot Finance Ltd     925  
    193,830     Tata Consultancy Services Ltd     6,960,572  
    312,651     Titan Co Ltd     5,589,231  
    1,548,435     Wipro Ltd     7,326,070  
     

 

 

 
    Total India     99,149,552  
     

 

 

 
          Indonesia — 2.8%  
    5,027,600     Astra International Tbk PT     1,882,456  
    2,635,500     Bank BTPN Syariah Tbk PT     771,183  
    10,964,900     Bank Central Asia Tbk PT     24,082,689  
    12,813,600     Bank Mandiri Persero Tbk PT     5,747,167  
    13,491,200     Bank Negara Indonesia Persero Tbk PT     5,721,138  
    2,372,600     Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT     222,509  
    19,718,900     Bank Pembangunan Daerah Jawa Timur Tbk PT     886,952  
    80,204,200     Bank Rakyat Indonesia Persero Tbk PT     23,197,105  
    18,560,300     Bank Tabungan Negara Persero Tbk PT     2,163,746  
    21,450,700     Bukit Asam Tbk PT     3,582,677  
    19,110,900     Hanjaya Mandala Sampoerna Tbk PT     2,064,031  
    5,802,391     Indo Tambangraya Megah Tbk PT     5,383,061  
    6,222,100     Matahari Department Store Tbk PT *     557,074  
    15,171,500     Pakuwon Jati Tbk PT *     537,671  
    203,497,200     Panin Financial Tbk PT *     3,224,639  
    43,302,700     Ramayana Lestari Sentosa Tbk PT     2,236,819  
    650,600     United Tractors Tbk PT     1,059,353  
    6,344,200     XL Axiata Tbk PT     1,082,827  
     

 

 

 
    Total Indonesia     84,403,097  
     

 

 

 
          Kuwait — 1.3%  
    43,233     Agility Public Warehousing Co KSC     90,868  
    1,064,784     Alimtiaz Investment Group KSC *     336,104  
    145,962     Burgan Bank SAK     94,093  
    90,149     Gulf Cable & Electrical Industries Co KSCP     211,843  
    182,392     Humansoft Holding Co KSC *     2,030,011  
    7,247,292     Kuwait Finance House KSCP     16,163,937  
    1,457,954     Kuwait Projects Co Holding KSCP     708,327  
    430,806     Mobile Telecommunications Co KSC     819,410  
    6,208,958     National Bank of Kuwait SAKP     17,098,965  
    89,823     Qurain Petrochemical Industries Co     92,345  
     

 

 

 
    Total Kuwait     37,645,903  
     

 

 

 
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Malaysia — 0.0%  
    63,600     Carlsberg Brewery Malaysia Berhad – Class B     300,359  
    205,800     Hartalega Holdings Berhad     726,590  
    2,210,500     YTL Corp Berhad *     349,969  
     

 

 

 
    Total Malaysia     1,376,918  
     

 

 

 
          Mexico — 2.5%  
    1,237,800     Banco del Bajio SA *     1,543,403  
    3,335,400     Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand (a)     3,469,037  
    344,200     Concentradora Fibra Danhos SA de CV (REIT)     408,232  
    1,679,200     Credito Real SAB de CV SOFOM ER *     948,848  
    296,400     El Puerto de Liverpool SAB de CV – Class C1 * (a)     986,130  
    5,258,800     Fibra Uno Administracion SA de CV (REIT)     5,248,327  
    687,100     Gentera SAB de CV *     295,779  
    908,500     Grupo Aeroportuario del Centro Norte SAB de CV *     5,284,159  
    10,400     Grupo Aeroportuario del Centro Norte SAB de CV ADR *     484,224  
    7,713,000     Grupo Financiero Banorte SAB de CV – Class O *     38,404,235  
    1,024,300     Grupo Financiero Inbursa SAB de CV – Class O *     998,439  
    2,441,100     Grupo Mexico SAB de CV Series B     8,877,716  
    80,900     Industrias Bachoco SAB de CV– Series B     279,764  
    189,000     Kimberly-Clark de Mexico SAB de CV – Class A     299,628  
    293,427     Qualitas Controladora SAB de CV     1,425,303  
    599,700     Regional SAB de CV *     2,557,225  
    545,190     Unifin Financiera SAB de CV SOFOM ENR *     676,556  
    431,800     Wal-Mart de Mexico SAB de CV     1,136,639  
     

 

 

 
    Total Mexico     73,323,644  
     

 

 

 
          Pakistan — 0.4%  
    461,510     Engro Corp Ltd     881,602  
    5,359,782     Engro Fertilizers Ltd     2,037,019  
    1,406,023     Fauji Fertilizer Co Ltd     910,307  
    411,500     National Bank of Pakistan *     104,597  
    4,748,084     Oil & Gas Development Co Ltd     2,917,916  
    705,011     Pakistan Oilfields Ltd     1,738,424  
    2,975,446     Pakistan Petroleum Ltd     1,681,038  
    299,159     Pakistan State Oil Co Ltd *     373,502  
    816,800     Searle Co Ltd (The)     1,193,294  
    1,337,740     United Bank Ltd     1,012,046  
     

 

 

 
    Total Pakistan     12,849,745  
     

 

 

 
          Philippines — 0.3%  
    360,810     Manila Electric Co     2,109,530  
    35,122,800     Megaworld Corp *     2,802,521  
    19,853,000     Metro Pacific Investments Corp     1,690,609  
    243,900     Metropolitan Bank & Trust Co     243,603  
    1,401,400     Robinsons Land Corp     486,052  
    251,700     Security Bank Corp     653,101  
    6,401,200     Semirara Mining & Power Corp     1,649,257  
     

 

 

 
    Total Philippines     9,634,673  
     

 

 

 
         
Shares
    Description   Value ($)  
          Poland — 1.0%  
    46,447     Budimex SA     3,395,298  
    234,647     Grupa Lotos SA     2,167,425  
    51,629     Lubelski Wegiel Bogdanka SA *     256,584  
    27,366     mBank SA *     1,103,856  
    3,350,926     Powszechny Zaklad Ubezpieczen SA *     22,478,791  
    13,832     Santander Bank Polska SA *     643,492  
     

 

 

 
    Total Poland     30,045,446  
     

 

 

 
          Qatar — 0.6%  
    1,456,860     Doha Bank QPSC *     936,206  
    425,994     Masraf Al Rayan QSC     499,752  
    141,417     Qatar Electricity & Water Co QSC     699,503  
    206,002     Qatar Insurance Co SAQ     143,385  
    22,115     Qatar Islamic Bank SAQ     101,037  
    2,707,202     Qatar National Bank QPSC     13,140,436  
    1,040,242     Qatar National Cement Co QSC     1,162,107  
     

 

 

 
    Total Qatar     16,682,426  
     

 

 

 
          Russia — 13.9%  
    27,618,810     Alrosa PJSC     31,852,958  
    6,411,000     Credit Bank of Moscow PJSC *     503,258  
    1,169,230     Detsky Mir PJSC     2,150,090  
    1,049,970,000     Federal Grid Co Unified Energy System PJSC     2,753,959  
    353,210     Gazprom Neft PJSC     1,460,703  
    8,830     Gazprom Neft PJSC Sponsored ADR     178,331  
    686,124     Globaltrans Investment Plc Sponsored GDR (Registered)     3,926,380  
    89,797,000     Inter RAO UES PJSC     6,030,552  
    95,648     LSR Group PJSC     1,138,577  
    696,477     LSR Group PJSC GDR (Registered)     1,636,208  
    889,780     LUKOIL PJSC Sponsored ADR     57,279,725  
    551,497     M.Video PJSC     5,210,190  
    7,396     Magnit PJSC Sponsored GDR (Registered)     111,135  
    13,172,100     Magnitogorsk Iron & Steel Works PJSC     7,251,067  
    237,839     Magnitogorsk Iron & Steel Works PJSC Sponsored GDR (Registered)     1,632,072  
    2,345,590     MMC Norilsk Nickel PJSC ADR     65,051,767  
    785,300     Mobile TeleSystems PJSC Sponsored ADR     6,777,139  
    12,868,757     Moscow Exchange MICEX-RTS PJSC     25,827,837  
    44,641     Novatek PJSC Sponsered GDR (Registered)     6,868,367  
    1,053,247     Novolipetsk Steel PJSC GDR     26,056,988  
    45,833     PhosAgro PJSC GDR (Registered)     585,417  
    1,532,343     Polymetal International Plc     31,922,424  
    19,505     Polyus PJSC     3,723,301  
    182,080     Polyus PJSC GDR (Registered)     17,224,902  
    209,315     QIWI Plc Sponsored ADR     3,047,626  
    930,210     Raspadskaya OJSC     1,781,432  
    82,660     Safmar Financial Investment *     508,535  
    1,199,012     Sberbank of Russia PJSC Sponsored ADR     15,816,864  
    556,037     Severstal PJSC GDR (Registered)     8,085,478  
    23,335,400     Surgutneftegas PJSC     10,779,168  
    4,762,114     Surgutneftegas PJSC Sponsored ADR     21,388,464  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Russia — continued  
    816,056     Tatneft PJSC Sponsored ADR     30,773,955  
    245,436     TCS Group Holding Plc GDR (Registered)     7,529,133  
    89,279,000     Unipro PJSC     3,241,207  
    29,555     X5 Retail Group NV GDR (Registered)     1,057,657  
    70,300     Yandex NV – Class A *     4,847,888  
     

 

 

 
    Total Russia     416,010,754  
     

 

 

 
          Saudi Arabia — 0.0%  
    46,565     Al Rajhi Bank     927,891  
    30,520     Arriyadh Development Co     143,460  
     

 

 

 
    Total Saudi Arabia     1,071,351  
     

 

 

 
          South Africa — 3.0%  
    47,355     Anglo American Platinum Ltd     3,434,924  
    220,151     Aspen Pharmacare Holdings Ltd *     1,748,414  
    56,443     Astral Foods Ltd     489,942  
    140,971     AVI Ltd     646,348  
    171,697     Barloworld Ltd     771,859  
    97,215     Clicks Group Ltd     1,467,887  
    100,229     Discovery Ltd     793,936  
    1,688,726     Emira Property Fund Ltd (REIT)     709,936  
    2     Foschini Group Ltd (The)     13  
    628,900     Gold Fields Ltd Sponsored ADR     5,477,719  
    4,199,059     Growthpoint Properties Ltd (REIT)     3,224,392  
    717,313     Investec Ltd     1,741,146  
    102,212     Kumba Iron Ore Ltd     3,473,959  
    785,177     Lewis Group Ltd     1,115,756  
    2,121,270     Life Healthcare Group Holdings Ltd     2,168,356  
    2,115,852     Momentum Metropolitan Holdings     2,127,295  
    796,173     Mr Price Group Ltd     8,324,271  
    15,662,449     Old Mutual Ltd     11,764,305  
    1,759,420     Pepkor Holdings Ltd     1,567,842  
    99,267     Rand Merchant Investment Holdings Ltd     194,368  
    125,738     Remgro Ltd     742,501  
    17,226,323     RMB Holdings Ltd *     1,417,740  
    5,753,675     Sanlam Ltd     20,497,216  
    44,780     Shoprite Holdings Ltd     370,328  
    81,575     Tiger Brands Ltd     1,033,446  
    3,176,467     Truworths International Ltd     7,328,161  
    377,683     Vodacom Group Ltd     2,997,355  
    386,813     Wilson Bayly Holmes-Ovcon Ltd *     2,530,514  
     

 

 

 
    Total South Africa     88,159,929  
     

 

 

 
          South Korea — 1.3%  
    421,556     BNK Financial Group Inc     2,144,829  
    44,721     Daou Data Corp     507,512  
    66,624     DB HiTek Co Ltd     2,139,572  
    155,761     DB Insurance Co Ltd     6,193,368  
    1,172,630     Dongwon Development Co Ltd     4,676,737  
    19,574     Doosan Fuel Cell Co Ltd *     882,360  
    10,663     GS Home Shopping Inc     1,323,799  
    24,271     Hy-Lok Corp     300,859  
    409,047     Korea Asset In Trust Co Ltd     1,464,305  
         
Shares
    Description   Value ($)  
          South Korea — continued  
    23,797     KT Skylife Co Ltd     193,191  
    1,985     NCSoft Corp     1,458,560  
    22,248     NHN KCP Corp     1,345,882  
    118,357     Posco International Corp     1,422,573  
    38,668     S&T Motiv Co Ltd     1,737,494  
    7,195     Samsung Electronics Co Ltd GDR     10,899,635  
    30,847     Sangsangin Co Ltd     180,440  
    36,382     Soulbrain Holdings Co Ltd     1,420,097  
     

 

 

 
    Total South Korea     38,291,213  
     

 

 

 
          Sri Lanka — 0.0%  
    103,983,101     Anilana Hotels & Properties Ltd * (b) (c)     662,576  
     

 

 

 
          Taiwan — 20.5%  
    61,000     Acter Group Corp Ltd     414,133  
    1,206,035     Advantech Co Ltd     12,968,686  
    1,013,000     Alchip Technologies Ltd     23,749,620  
    298,227     Amazing Microelectronic Corp     962,626  
    701,689     Asustek Computer Inc     6,120,580  
    437,000     Aten International Co Ltd     1,276,361  
    129,200     Aurora Corp     392,575  
    7,597,000     Catcher Technology Co Ltd     50,140,417  
    3,776,153     Cathay Financial Holding Co Ltd     5,351,992  
    2,992,865     Chailease Holding Co Ltd     16,419,236  
    327,000     Chicony Electronics Co Ltd     979,172  
    6,370,000     China Development Financial Holding Corp     1,994,929  
    772,000     Chong Hong Construction Co Ltd     2,248,414  
    4,541,400     Coretronic Corp     5,596,170  
    43,151,720     CTBC Financial Holding Co Ltd     29,024,449  
    95,000     Delta Electronics Inc     748,940  
    654,000     Elan Microelectronics Corp     3,030,804  
    1,609,000     Elite Material Co Ltd     8,809,300  
    4,795,000     Eva Airways Corp     2,128,120  
    1,758,000     Farglory Land Development Co Ltd     3,221,494  
    5,071,000     FLEXium Interconnect Inc     21,368,174  
    821,000     Formosa Taffeta Co Ltd     882,858  
    3,115,075     Foxconn Technology Co Ltd     5,748,843  
    12,666,000     Fubon Financial Holding Co Ltd     19,687,504  
    2,435,000     Grand Pacific Petrochemical *     2,000,451  
    20,989,532     Hon Hai Precision Industry Co Ltd     60,593,711  
    1,966,000     Huaku Development Co Ltd     6,089,401  
    1,431,806     IEI Integration Corp     2,419,464  
    133,900     Innodisk Corp     766,796  
    640,000     International Games System Co Ltd     15,258,166  
    278,000     Kung Long Batteries Industrial Co Ltd     1,366,002  
    3,473,000     Lite-On Technology Corp     5,852,735  
    121,000     Lotes Co Ltd     1,890,102  
    1,326,000     Merry Electronics Co Ltd     6,588,814  
    2,021,000     Micro-Star International Co Ltd     8,851,443  
    67,000     Nan Liu Enterprise Co Ltd     453,691  
    952,000     Nantex Industry Co Ltd     2,052,403  
    1,252,810     Novatek Microelectronics Corp     13,149,262  
    450,000     Pegatron Corp     1,029,579  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Taiwan — continued  
    404,000     Quanta Computer Inc     1,090,491  
    10,770,870     Radiant Opto-Electronics Corp     43,867,441  
    4,000     Realtek Semiconductor Corp     51,998  
    800,000     Shinkong Insurance Co Ltd     1,092,712  
    1,416,068     Simplo Technology Co Ltd     16,464,754  
    2,110,250     Syncmold Enterprise Corp     6,407,242  
    41,300     Tah Hsin Industrial Corp     105,424  
    77,000     Taiwan Cement Corp     115,883  
    9,355,000     Taiwan Semiconductor Manufacturing Co Ltd     159,239,215  
    10     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR     970  
    337,000     Test Research Inc     670,075  
    54,000     Thinking Electronic Industrial Co Ltd     276,762  
    1,361,000     Transcend Information Inc     3,082,726  
    1,321,160     Tripod Technology Corp     5,682,277  
    90,000     TXC Corp     252,853  
    785,224     United Integrated Services Co Ltd     6,299,674  
    6,213,000     United Microelectronics Corp     8,825,815  
    286,000     Universal Inc     1,069,777  
    45,000     Vanguard International Semiconductor Corp     165,772  
    121,000     Wiwynn Corp     2,897,588  
    153,000     Yulon Nissan Motor Co Ltd     1,404,408  
    327,000     Zeng Hsing Industrial Co Ltd     1,594,463  
     

 

 

 
    Total Taiwan     612,285,737  
     

 

 

 
          Thailand — 0.5%  
    141,900     Bangkok Bank Pcl (Foreign Registered)     583,942  
    20,194,100     Beauty Community Pcl (Foreign Registered) *     1,028,063  
    91,700     Carabao Group Pcl – Class F     365,586  
    120,200     Hana Microelectronics Pcl (Foreign Registered)     169,779  
    23,317,600     IRPC Pcl NVDR     2,096,657  
    237,800     KCE Electronics Pcl (Foreign Registered)     316,199  
    258,600     Kiatnakin Phatra Bank Pcl (Foreign Registered)     422,287  
    1,586,600     Krung Thai Bank Pcl (Foreign Registered)     560,048  
    841,600     Origin Property Pcl (Foreign Registered)     215,611  
    3,787,700     Pruksa Holding Pcl (Foreign Registered)     1,565,620  
    5,757,392     Quality Houses Pcl (Foreign Registered)     441,405  
    146,000     Siam Commercial Bank Pcl (The) (Foreign Registered)     411,973  
    659,200     SPCG Pcl     468,403  
    3,963,875     Supalai Pcl (Foreign Registered)     2,344,765  
    465,300     Thai Vegetable Oil Pcl (Foreign Registered)     500,051  
    58,190,900     TMB Bank Pcl NVDR     2,019,849  
    1,248,000     TTW Pcl (Foreign Registered)     524,302  
    1,679,500     Univentures Pcl (Foreign Registered)     168,864  
     

 

 

 
    Total Thailand     14,203,404  
     

 

 

 
          Turkey — 1.4%  
    573,782     Anadolu Efes Biracilik Ve Malt Sanayii AS     1,536,444  
    7,621,394     Aselsan Elektronik Sanayi Ve Ticaret AS     16,847,040  
    143,857     BIM Birlesik Magazalar AS     1,288,775  
    11,246,623     Dogan Sirketler Grubu Holding AS     3,451,568  
         
Shares
    Description   Value ($)  
          Turkey — continued  
    39,219,839     Emlak Konut Gayrimenkul Yatirim Ortakligi AS (REIT)     10,802,443  
    231,519     Enerjisa Enerji AS     319,844  
    613,677     Koza Altin Isletmeleri AS *     5,848,493  
    817,235     Koza Anadolu Metal Madencilik Isletmeleri AS *     1,321,841  
     

 

 

 
    Total Turkey     41,416,448  
     

 

 

 
          United Arab Emirates — 0.1%  
    474,388     Abu Dhabi Islamic Bank PJSC     606,549  
    114,770     Abu Dhabi National Oil Co for Distribution PJSC     107,980  
    1,657,747     Dubai Islamic Bank PJSC     2,009,168  
    717,123     Emaar Malls PJSC *     355,863  
    344,396     Emirates NBD Bank PJSC     1,025,557  
     

 

 

 
    Total United Arab Emirates     4,105,117  
     

 

 

 
          United Kingdom — 0.8%  
    386,665     Unilever Plc     23,484,219  
     

 

 

 
          Vietnam — 0.1%  
    1,594,290     Kinh Bac City Development Share Holding Corp *     1,091,749  
    218,620     PetroVietnam Gas JSC     787,539  
    1,985,700     PetroVietnam Technical Services Corp     1,263,279  
    182,980     Pha Lai Thermal Power JSC     189,033  
    380,860     Vinh Hoan Corp     726,893  
     

 

 

 
    Total Vietnam     4,058,493  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $2,648,656,004)
    2,743,665,739  
     

 

 

 
          PREFERRED STOCKS (d) — 3.3%  
          Brazil — 0.1%  
    493,300     Braskem SA – Class A*     2,080,968  
    115,500     Cia Paranaense de Energia – Class B     1,471,831  
    95,100     Lojas Americanas SA     407,034  
     

 

 

 
    Total Brazil     3,959,833  
     

 

 

 
          Chile — 0.0%  
    3,100     Sociedad Quimica y Minera de Chile SA Sponsored ADR     145,917  
     

 

 

 
          Colombia — 0.1%  
    62,521     Banco Davivienda SA     488,520  
    5,142,584     Grupo Aval Acciones y Valores SA     1,487,185  
     

 

 

 
    Total Colombia     1,975,705  
     

 

 

 
          Russia — 1.9%  
    256,245     Bashneft PJSC     4,126,427  
    237,480     Nizhnekamskneftekhim PJSC     244,646  
    98,683,100     Surgutneftegas PJSC     51,270,111  
    554     Transneft PJSC     1,037,747  
     

 

 

 
    Total Russia     56,678,931  
     

 

 

 
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    

Shares /

Par Value†

    Description   Value ($)  
          South Korea — 1.1%  
    18,220     Amorepacific Corp     887,495  
    596,573     Samsung Electronics Co Ltd     32,913,826  
     

 

 

 
    Total South Korea     33,801,321  
     

 

 

 
          Taiwan — 0.1%  
    287,798     Chailease Holding Co. Ltd. *     1,003,671  
    605,412     CTBC Financial Holding Co Ltd     1,364,136  
     

 

 

 
    Total Taiwan     2,367,807  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $91,627,586)
    98,929,514  
     

 

 

 
          INVESTMENT FUNDS — 3.1%  
          United States — 3.1%  
    1,557,096     iShares Core MSCI Emerging Markets ETF     91,276,967  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $92,240,542)
    91,276,967  
     

 

 

 
          DEBT OBLIGATIONS — 1.8%      
          United States — 1.8%      
    17,500,000     U.S. Treasury Note, Variable Rate, USBM + 0.15%, 0.24%, due 01/31/22 (e)     17,521,734  
    35,000,000     U.S. Treasury Note, 0.13%, due 04/30/22     35,001,367  
     

 

 

 
    Total United States     52,523,101  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $52,506,066)
    52,523,101  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%      
          Pakistan — 0.0%      
    106,184     Searle Co Ltd, Expires 31/12/20, Expires 12/31/20 * (b)     42,633  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
    42,633  
     

 

 

 
    

Shares /

Par Value†

    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.4%  
          Money Market Funds — 0.3%      
    9,419,950     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (f)     9,419,950  
     

 

 

 
          U.S. Government — 0.1%      
    4,000,000     U.S. Treasury Bill, 0.08%, due 02/04/21 (e) (g)     3,999,421  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $13,419,134)
    13,419,371  
     

 

 

 
    TOTAL INVESTMENTS — 100.4%
(Cost $2,898,449,332)
    2,999,857,325  
    Other Assets and Liabilities (net) — (0.4%)     (12,241,510
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,987,615,815  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Futures Contracts

 

Number of
Contracts +
  Type  

Expiration
Date

  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys  
3,357   Mini MSCI
Emerging
Markets
  December 2020   $ 201,806,055     $ 15,265,948  
     

 

 

   

 

 

 
Sales  
1,157   SGX Nifty
50
  December 2020   $ 29,915,485     $ 38,666  
     

 

 

   

 

 

 

 

+

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   39,327,680   12/07/2020   At Maturity   $     $ (129,868   $ (129,868
             

 

 

   

 

 

   

 

 

 

As of November 30, 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 Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

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 using significant unobservable inputs.

(c)

Affiliated company.

 

(d)

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

 

(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.

 

(f)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 

(g)

The rate shown represents yield-to-maturity.

The rates shown on variable rate notes are the current interest rates at November 30, 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

QSC - Qatari Shareholding 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

Currency Abbreviations:

USD - United States Dollar

 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    COMMON STOCKS — 98.1%

 

          Australia — 5.0%  
    556,139     Austal Ltd     1,192,056  
    147,865     BHP Group Ltd     4,123,402  
    4,487,022     Fortescue Metals Group Ltd     59,778,788  
    16,683     JB Hi-Fi Ltd     560,381  
    102,213     Pact Group Holdings Ltd     184,449  
    717,032     Rio Tinto Ltd     53,497,042  
    768,697     Sandfire Resources NL     2,474,067  
     

 

 

 
    Total Australia     121,810,185  
     

 

 

 
          Belgium — 1.5%  
    231,928     AGFA-Gevaert NV *     959,856  
    55,566     Orange Belgium SA     1,072,749  
    3,052     Sofina SA     968,808  
    302,182     UCB SA     32,337,301  
     

 

 

 
    Total Belgium     35,338,714  
     

 

 

 
          Denmark — 0.1%  
    10,980     Per Aarsleff Holding A/S     465,744  
    7,459     Schouw & Co A/S     724,538  
     

 

 

 
    Total Denmark     1,190,282  
     

 

 

 
          France — 8.3%  
    432,801     BNP Paribas SA *     22,030,086  
    11,182     Christian Dior SE     5,701,842  
    65,703     Cie de Saint-Gobain *     3,112,471  
    274,848     Credit Agricole SA *     3,170,992  
    3,817     Gaztransport Et Technigaz SA     377,255  
    14,927     IPSOS     476,898  
    107,639     L’Oreal SA     39,621,496  
    126,188     Metropole Television SA *     1,978,510  
    719,322     Peugeot SA *     16,876,234  
    115     Renault SA * (a)     4,588  
    42,362     Renault SA * (a)     1,681,849  
    562,896     Sanofi     56,739,244  
    63,698     Schneider Electric SE     8,874,756  
    4,690     SEB SA     830,795  
    171,353     Societe Generale SA *     3,397,545  
    871,822     STMicroelectronics NV – NY Shares     34,567,742  
    39,623     TOTAL SE (a)     1,681,813  
    16,637     TOTAL SE (a)     710,913  
     

 

 

 
    Total France     201,835,029  
     

 

 

 
          Germany — 4.9%  
    109,696     ADVA Optical Networking SE *     923,387  
    70,896     Allianz SE (Registered)     16,616,969  
    29,479     Bayerische Motoren Werke AG     2,557,877  
    42,541     Bechtle AG     9,286,855  
    33,827     Brenntag AG     2,590,414  
    930,767     CECONOMY AG *     4,585,298  
    5,093     Cewe Stiftung & Co KGaA     551,055  
         
Shares
    Description   Value ($)  
          Germany — continued  
    192,634     Daimler AG (Registered Shares)     12,897,100  
    261,839     Deutsche Pfandbriefbank AG *     2,608,179  
    2,390     Deutsche Post AG (Registered)     115,289  
    448,613     Dialog Semiconductor Plc *     23,941,368  
    124,434     DWS Group GmbH & Co KGaA     4,845,865  
    9,244     HeidelbergCement AG     653,972  
    44,566     Henkel AG & Co KGaA     4,299,848  
    15,329     Hornbach Holding AG & Co KGaA     1,631,985  
    6,074     Indus Holding AG     235,302  
    64,802     Siemens AG (Registered)     8,649,422  
    203,966     Software AG     8,758,754  
    65,232     Volkswagen AG     12,057,506  
     

 

 

 
    Total Germany     117,806,445  
     

 

 

 
          Hong Kong — 2.5%  
    495,500     BOC Hong Kong Holdings Ltd     1,612,538  
    1,574,640     Champion (REIT)     943,268  
    506,800     Chow Tai Fook Jewellery Group Ltd     661,566  
    161,500     CK Asset Holdings Ltd     882,494  
    1,505,014     Dah Sing Banking Group Ltd     1,613,467  
    407,515     Dah Sing Financial Holdings Ltd     1,199,053  
    4,557,096     Esprit Holdings Ltd *     595,179  
    860,500     Johnson Electric Holdings Ltd     2,027,181  
    794,257     Luk Fook Holdings International Ltd     2,006,737  
    1,574,400     Man Wah Holdings Ltd     2,887,073  
    1,405,647     Pacific Textiles Holdings Ltd     968,563  
    1,484,000     Shun Tak Holdings Ltd     468,204  
    1,323,173     SmarTone Telecommunications Holdings Ltd     730,582  
    377,880     Television Broadcasts Ltd     386,815  
    52,034,920     WH Group Ltd     42,391,376  
     

 

 

 
    Total Hong Kong     59,374,096  
     

 

 

 
          Ireland — 0.8%  
    70,354     CRH Plc *     2,767,245  
    288,400     CRH Plc Sponsored ADR     11,319,700  
    4,723     Flutter Entertainment Plc *     860,513  
    49,273     Glanbia Plc     605,979  
    33,861     Kingspan Group Plc *     2,954,223  
    27,178     Smurfit Kappa Group Plc     1,140,124  
     

 

 

 
    Total Ireland     19,647,784  
     

 

 

 
          Italy — 3.7%  
    793,653     Anima Holding SPA     3,495,061  
    147,282     CNH Industrial NV *     1,604,607  
    72,194     De’ Longhi SPA *     2,520,459  
    4,679,655     Enel SPA     46,950,142  
    377,340     EXOR NV     26,394,710  
    2,968,848     Intesa Sanpaolo SPA *     6,877,234  
    41,785     La Doria SPA     636,920  
     

 

 

 
    Total Italy     88,479,133  
     

 

 

 
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Japan — 20.5%  
    72,453     AOKI Holdings Inc     283,406  
    2,121,876     Asahi Kasei Corp     19,399,107  
    3,270,550     Astellas Pharma Inc     46,584,185  
    51,727     Autobacs Seven Co Ltd     642,424  
    592,121     Brother Industries Ltd     11,310,180  
    45,036     Cawachi Ltd     1,290,430  
    85,719     Daiwabo Holdings Co Ltd     5,349,847  
    337,562     DCM Holdings Co Ltd     3,831,163  
    80,385     Dexerials Corp     980,501  
    27,100     Dip Corp     629,480  
    61,078     Doutor Nichires Holdings Co Ltd     840,981  
    6,566     DTS Corp     138,064  
    6,621     Ehime Bank Ltd (The)     68,024  
    29,300     Fuji Corp     707,911  
    352,045     Fuji Electric Co Ltd     12,464,886  
    59,600     Fujitsu General Ltd     1,803,117  
    311,696     Fujitsu Ltd     43,119,433  
    29,789     Fuyo General Lease Co Ltd     1,815,456  
    102,812     Geo Holdings Corp     1,250,342  
    20,135     Gunze Ltd     691,932  
    89,500     Haseko Corp     967,258  
    925,278     Hitachi Ltd     35,117,766  
    41,400     Honda Motor Co Ltd     1,151,827  
    1,336,768     ITOCHU Corp     35,276,310  
    120,200     Itochu Techno-Solutions Corp     4,238,402  
    101,300     Japan Post Insurance Co Ltd     1,685,293  
    93,200     Japan Tobacco Inc     1,886,571  
    143,900     K’s Holdings Corp     1,747,372  
    156,611     Kanematsu Corp     1,803,442  
    2,020,700     KDDI Corp     57,501,775  
    41,269     Kohnan Shoji Co Ltd     1,275,643  
    24,867     Mandom Corp     389,529  
    9,100     MEIJI Holdings Co Ltd     644,021  
    2,083,656     Mitsubishi Chemical Holdings Corp     11,471,257  
    4,005,500     Mitsubishi UFJ Financial Group Inc     17,092,727  
    37,300     Mixi Inc     1,019,230  
    195,600     Mizuho Financial Group Inc     2,478,164  
    45,150     Modec Inc     756,340  
    76,266     Namura Shipbuilding Co Ltd     110,096  
    85,200     NEC Corp     4,590,316  
    135,200     NEC Networks & System Integration Corp     2,387,617  
    110,457     Nichias Corp     2,568,454  
    109,909     Nippo Corp     2,864,836  
    67,333     Nippon Signal Co Ltd     598,668  
    2,374,188     Nippon Telegraph & Telephone Corp     56,150,160  
    8,400     Nitori Holdings Co Ltd     1,785,981  
    61,000     NS Solutions Corp     1,802,104  
    488,700     Obayashi Corp     4,301,621  
    96,801     Okinawa Electric Power Co (The)     1,344,013  
    97,400     Otsuka Corp     4,723,249  
    60,600     Panasonic Corp     642,695  
    93,902     Press Kogyo Co Ltd     272,405  
         
Shares
    Description   Value ($)  
          Japan — continued  
    71,896     Prima Meat Packers Ltd     1,994,079  
    145,300     Renesas Electronics Corp *     1,287,592  
    33,857     San-A Co Ltd     1,309,319  
    98,887     Seiko Holdings Corp     1,271,052  
    477,428     Sekisui Chemical Co Ltd     8,230,040  
    262,700     Shimizu Corp     1,986,723  
    33,600     Shinko Electric Industries Co Ltd     740,252  
    1,907,287     Sojitz Corp     4,165,502  
    34,800     Sony Corp     3,242,854  
    5,971,363     Sumitomo Chemical Co Ltd     21,096,065  
    190,200     Sumitomo Mitsui Financial Group Inc     5,468,738  
    64,603     T-Gaia Corp     1,137,405  
    57,900     Tokyo Electron Ltd     19,677,521  
    42,861     Tokyo Seimitsu Co Ltd     1,885,106  
    149,395     Tokyu Construction Co Ltd     669,615  
    69,611     Towa Pharmaceutical Co Ltd     1,268,767  
    23,300     Toyo Suisan Kaisha Ltd     1,146,031  
    27,682     TPR Co Ltd     346,282  
    113,367     TS Tech Co Ltd     3,315,905  
    75,819     TSI Holdings Co Ltd     145,806  
    106,514     Valor Holdings Co Ltd     2,641,320  
    23,104     Warabeya Nichiyo Holdings Co Ltd     307,971  
    24,646     Yahagi Construction Co Ltd     213,334  
     

 

 

 
    Total Japan     497,393,290  
     

 

 

 
          Malta — 0.0%  
    15,858,986     BGP Holdings Plc * (b)      
     

 

 

 
          Netherlands — 7.6%  
    61,337     ASM International NV     10,814,430  
    505,260     ASR Nederland NV     18,724,041  
    110,703     Flow Traders     3,563,436  
    133,391     Heineken Holding NV     12,289,657  
    1,271,124     ING Groep NV *     12,363,862  
    1,135,707     Koninklijke Ahold Delhaize NV     32,471,340  
    142,278     Koninklijke Vopak NV     7,460,604  
    276,623     Randstad NV *     17,108,675  
    589,524     Signify NV *     24,849,487  
    540,596     Wolters Kluwer NV     45,257,854  
     

 

 

 
    Total Netherlands     184,903,386  
     

 

 

 
          Norway — 2.8%  
    373,819     BW LPG Ltd     2,387,190  
    2,409,657     DNB ASA *     43,449,084  
    264,825     Gjensidige Forsikring ASA     5,766,244  
    77,764     Norwegian Finans Holding ASA *     618,432  
    1,722,837     Orkla ASA     16,490,775  
    10,853     SpareBank 1 Nord Norge     89,056  
     

 

 

 
    Total Norway     68,800,781  
     

 

 

 
          Portugal — 3.3%  
    128,547     Altri SGPS SA     692,717  
    3,780,423     Banco Comercial Portugues SA – Class R *     534,373  
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Portugal — continued  
    287,147     CTT-Correios de Portugal SA *     835,500  
    171,141     EDP Renovaveis SA     3,627,298  
    8,323,655     EDP – Energias de Portugal SA     44,492,109  
    782,303     Galp Energia SGPS SA     8,393,150  
    1,165,868     Jeronimo Martins SGPS SA     19,976,593  
    630,348     REN – Redes Energeticas Nacionais SGPS SA     1,728,598  
     

 

 

 
    Total Portugal     80,280,338  
     

 

 

 
          Singapore — 4.3%  
    1,354,200     AEM Holdings Ltd     3,538,456  
    3,099,300     DBS Group Holdings Ltd     57,819,274  
    733,400     Hi-P International Ltd     931,069  
    20,200     Jardine Cycle & Carriage Ltd     292,348  
    131,000     Oversea-Chinese Banking Corp Ltd     976,674  
    1,863,600     Singapore Exchange Ltd     12,287,833  
    397,500     United Overseas Bank Ltd     6,611,402  
    756,600     Venture Corp Ltd     10,560,090  
    1,126,700     Wilmar International Ltd     3,507,305  
    11,736,300     Yangzijiang Shipbuilding Holdings Ltd     7,626,473  
     

 

 

 
    Total Singapore     104,150,924  
     

 

 

 
          Spain — 6.5%  
    38,915     ACS Actividades de Construccion y Servicios SA     1,229,440  
    111,881     Aena SME SA *     18,226,312  
    850,215     Banco Bilbao Vizcaya Argentaria SA     3,936,984  
    1,087,626     Banco de Sabadell SA     424,031  
    2,679,551     Banco Santander SA *     7,771,014  
    141,223     Bankinter SA     700,328  
    925,412     CaixaBank SA     2,367,347  
    236,572     Cia de Distribucion Integral Logista Holdings SA     4,362,537  
    94,275     Ebro Foods SA     2,231,100  
    1,500,612     Endesa SA     43,131,440  
    3,144,138     Iberdrola SA     43,161,820  
    689,290     Industria de Diseno Textil SA     22,880,552  
    115,077     Mediaset Espana Comunicacion SA *     518,689  
    90,685     Viscofan SA     6,427,038  
     

 

 

 
    Total Spain     157,368,632  
     

 

 

 
          Sweden — 3.3%  
    396,177     Betsson AB *     3,417,888  
    84,792     Swedbank AB – A Shares *     1,535,323  
    524,746     Swedish Match AB     42,452,929  
    1,456,172     Volvo AB – B Shares *     33,166,651  
     

 

 

 
    Total Sweden     80,572,791  
     

 

 

 
          Switzerland — 6.1%  
    320,311     ABB Ltd (Registered)     8,471,494  
    50,929     Ascom Holding AG (Registered) *     694,285  
    5,691     Kardex Holding AG (Registered)     1,120,967  
    16,732     Logitech International SA (Registered)     1,491,239  
    82,928     Nestle SA (Registered)     9,289,136  
         
Shares
    Description   Value ($)  
          Switzerland — continued  
    439,356     Novartis AG (Registered)     39,777,304  
    24,450     Roche Holding AG     8,127,631  
    226,551     Roche Holding AG – Genusschein     74,409,974  
    72,356     Wizz Air Holdings Plc *     4,332,636  
    4,556     Zehnder Group AG – Class RG     247,477  
     

 

 

 
    Total Switzerland     147,962,143  
     

 

 

 
          United Kingdom — 16.9%  
    1,747,051     3i Group Plc     24,698,174  
    149,560     Anglo American Plc     4,355,164  
    35,896     Ashtead Group Plc     1,515,114  
    81,816     AVEVA Group Plc     3,681,254  
    575,174     Barclays Plc *     1,020,791  
    3,579,480     Barratt Developments Plc *     29,345,945  
    224,342     Bellway Plc     8,427,086  
    323,402     Berkeley Group Holdings Plc (The)     19,767,514  
    1,203,175     British American Tobacco Plc     42,354,478  
    520,900     British American Tobacco Plc Sponsored ADR     18,392,979  
    263,343     Centamin Plc     398,941  
    171,170     Coca-Cola HBC AG *     4,889,408  
    37,951     Cranswick Plc     1,729,521  
    277,834     Dunelm Group Plc *     4,468,468  
    652,166     Electrocomponents Plc     7,022,827  
    103,020     Ferguson Plc     11,531,958  
    1,216,721     Ferrexpo Plc     3,411,991  
    2,648,087     Firstgroup Plc *     2,136,939  
    76,642     Fresnillo Plc     1,078,259  
    264,593     Galliford Try Holdings Plc *     382,146  
    19,814     Games Workshop Group Plc     2,594,748  
    2,400,765     GlaxoSmithKline Plc     43,573,419  
    71,690     Grafton Group Plc *     812,094  
    15,416     Greggs Plc *     345,125  
    117,113     Halfords Group Plc     415,566  
    1,232,400     HSBC Holdings Plc     6,427,293  
    1,012,185     IG Group Holdings Plc     10,783,260  
    852,714     Inchcape Plc *     6,788,231  
    1,335,665     JD Sports Fashion Plc     13,705,950  
    1,691,295     Kingfisher Plc *     6,142,147  
    3,999,481     Legal & General Group Plc     13,207,773  
    351,702     National Express Group Plc *     1,036,419  
    347,336     Next Plc     30,003,859  
    1,141,889     Persimmon Plc     40,071,439  
    705,210     Pets at Home Group Plc     3,889,352  
    392,209     Plus500 Ltd     8,049,570  
    993,967     QinetiQ Group Plc     3,864,832  
    193,452     Royal Dutch Shell Plc – A Shares     3,266,216  
    48,500     Royal Dutch Shell Plc – Class B Sponsored ADR     1,573,825  
    61,068     Savills Plc *     742,031  
    156,969     Softcat Plc     2,366,451  
    24,843     Spectris Plc     874,950  
    968,264     Spirent Communications Plc     3,306,426  
    1,367,633     Tate & Lyle Plc     11,553,422  
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United Kingdom — continued  
    292,609     Vesuvius Plc     1,889,473  
    27,982     Vistry Group Plc *     309,535  
     

 

 

 
    Total United Kingdom     408,202,363  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $2,274,578,347)
    2,375,116,316  
     

 

 

 
          PREFERRED STOCKS (c) — 0.9%  
          Germany — 0.9%  
    30,562     Bayerische Motoren Werke AG     2,008,086  
    47,671     Draegerwerk AG & Co KGaA     3,735,272  
    36,172     Henkel AG & Co KGaA     3,891,577  
    148,175     Schaeffler AG     1,102,642  
    67,711     Volkswagen AG     11,365,823  
     

 

 

 
    Total Germany     22,103,400  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $23,084,609)
    22,103,400  
     

 

 

 
          RIGHTS/WARRANTS — 0.1%  
          United Kingdom — 0.1%  
    107,672     AVEVA Group Plc, Expires 12/09/20 *     1,607,679  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $1,229,129)
    1,607,679  
     

 

 

 
     Shares /
Par Value†
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 1.6%

 

          Money Market Funds — 0.7%  
    18,425,406     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (d)     18,425,406  
     

 

 

 
          U.S. Government — 0.9%  
    21,000,000     U.S. Treasury Bill, 0.10%, due 10/07/21 (e)(f)     20,981,464  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $39,406,927)
    39,406,870  
     

 

 

 
    TOTAL INVESTMENTS — 100.7%
(Cost $2,338,299,012)
    2,438,234,265  
    Other Assets and Liabilities (net) — (0.7%)     (17,622,891
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,420,611,374  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys
1
  Mini MSCI EAFE     December 2020     $ 101,650     $ 12,466  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

As of November 30, 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)

Securities are traded on separate exchanges for the same entity.

 

(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 November 30, 2020.

 

(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.

 

(f)

The rate shown represents yield-to-maturity.

Portfolio Abbreviations:

ADR - American Depositary Receipt

REIT - Real Estate Investment Trust

 


GMO-Usonian Japan Value Creation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 97.1%

 

          Automobiles & Components — 3.5%  
    75,600     Toyota Industries Corp     5,448,120  
     

 

 

 
          Banks — 2.6%  
    947,000     Mitsubishi UFJ Financial Group Inc     4,041,147  
     

 

 

 
          Capital Goods — 17.1%  
    468,300     Amada Co Ltd     4,488,937  
    147,800     Ebara Corp     4,713,847  
    206,200     Fuji Corp     4,981,950  
    411,600     Hazama Ando Corp     2,703,785  
    114,000     Kinden Corp     1,820,966  
    158,100     Kyowa Exeo Corp     4,060,427  
    25,900     Kyudenko Corp     739,112  
    453,500     Penta-Ocean Construction Co Ltd     3,365,564  
     

 

 

 
    Total Capital Goods     26,874,588  
     

 

 

 
          Commercial & Professional Services — 5.8%  
    47,300     Secom Co Ltd     4,720,190  
    318,800     Toppan Printing Co Ltd     4,340,280  
     

 

 

 
    Total Commercial & Professional Services     9,060,470  
     

 

 

 
          Consumer Durables & Apparel — 8.5%  
    295,800     Asics Corp     5,316,200  
    325,000     Haseko Corp     3,512,389  
    255,800     Sumitomo Forestry Co Ltd     4,631,740  
     

 

 

 
    Total Consumer Durables & Apparel     13,460,329  
     

 

 

 
          Diversified Financials — 8.7%  
    92,600     Jafco Co Ltd     3,962,665  
    340,500     ORIX Corp     5,039,866  
    103,400     Zenkoku Hosho Co Ltd     4,718,560  
     

 

 

 
    Total Diversified Financials     13,721,091  
     

 

 

 
          Food, Beverage & Tobacco — 5.6%  
    99,300     NH Foods Ltd     4,229,027  
    407,800     Takara Holdings Inc     4,666,225  
     

 

 

 
    Total Food, Beverage & Tobacco     8,895,252  
     

 

 

 
          Insurance — 2.6%  
    138,900     MS&AD Insurance Group Holdings Inc     4,040,784  
     

 

 

 
          Materials — 7.5%  
    143,800     Denka Co Ltd     4,436,892  
    193,700     Teijin Ltd     3,303,002  
    263,900     Tosoh Corp     4,133,070  
     

 

 

 
    Total Materials     11,872,964  
     

 

 

 
     Shares     Description   Value ($)  
          Media & Entertainment — 2.9%  
    146,300     Kadokawa Corp     4,631,425  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life Sciences — 2.6%  
    142,100     Tsumura & Co     4,134,964  
     

 

 

 
          Real Estate — 6.3%  
    270,700     Aeon Mall Co Ltd     4,326,337  
    785,300     Kenedix Inc     5,654,664  
     

 

 

 
    Total Real Estate     9,981,001  
     

 

 

 
          Retailing — 2.5%  
    323,200     K’s Holdings Corp     3,924,604  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 6.1%  
    53,100     Rohm Co Ltd     4,415,365  
    118,500     Tokyo Seimitsu Co Ltd     5,211,849  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     9,627,214  
     

 

 

 
          Technology Hardware & Equipment — 11.9%  
    129,400     Amano Corp     3,035,016  
    45,500     Daiwabo Holdings Co Ltd     2,839,721  
    109,900     Hitachi Ltd     4,171,117  
    80,200     Horiba Ltd     4,290,610  
    246,000     Yokogawa Electric Corp     4,334,160  
     

 

 

 
    Total Technology Hardware & Equipment     18,670,624  
     

 

 

 
          Telecommunication Services — 2.9%  
    158,000     KDDI Corp     4,496,105  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $143,506,733)
    152,880,682  
     

 

 

 
          SHORT-TERM INVESTMENTS — 2.3%  
          Money Market Funds — 2.3%  
    3,729,257     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (a)     3,729,257  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $3,729,257)
    3,729,257  
     

 

 

 
    TOTAL INVESTMENTS — 99.4%
(Cost $147,235,990)
    156,609,939  
    Other Assets and Liabilities (net) — 0.6%     868,429  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $157,478,368  
     

 

 

 
 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2020.


GMO Quality Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          COMMON STOCKS — 98.7%  
          Banks — 6.2%  
    5,867,501     US Bancorp     253,534,718  
    6,803,401     Wells Fargo & Co.     186,073,017  
     

 

 

 
    Total Banks     439,607,735  
     

 

 

 
          Capital Goods — 6.2%  
    1,092,019     3M Co.     188,624,442  
    552,674     Knorr-Bremse AG     70,748,339  
    1,293,020     Otis Worldwide Corp.     86,554,759  
    1,346,103     Raytheon Technologies Corp.     96,542,507  
     

 

 

 
    Total Capital Goods     442,470,047  
     

 

 

 
          Consumer Durables & Apparel — 1.0%  
    124,083     LVMH Moet Hennessy Louis Vuitton SE     71,272,734  
     

 

 

 
          Consumer Services — 2.1%  
    8,301,782     Compass Group Plc     146,075,341  
     

 

 

 
          Diversified Financials — 4.1%  
    1,652,051     American Express Co.     195,916,728  
    1,952,248     Charles Schwab Corp. (The)     95,230,657  
     

 

 

 
    Total Diversified Financials     291,147,385  
     

 

 

 
          Food, Beverage & Tobacco — 5.6%  
    5,934,817     Coca-Cola Co. (The)     306,236,557  
    559,822     Nestle SA (Registered)     62,708,165  
    356,315     Philip Morris International, Inc.     26,990,861  
     

 

 

 
    Total Food, Beverage & Tobacco     395,935,583  
     

 

 

 
          Health Care Equipment & Services — 14.7%  
    1,257,931     Abbott Laboratories     136,133,293  
    677,749     Anthem, Inc.     211,132,368  
    1,958,566     Medtronic Plc     222,688,954  
    1,011,217     Quest Diagnostics, Inc.     125,370,684  
    1,023,218     UnitedHealth Group, Inc.     344,149,142  
     

 

 

 
    Total Health Care Equipment & Services     1,039,474,441  
     

 

 

 
          Household & Personal Products — 2.7%  
    2,866,860     Unilever Plc (a)     174,119,634  
    274,530     Unilever Plc (a)     16,642,191  
     

 

 

 
    Total Household & Personal Products     190,761,825  
     

 

 

 
          Media & Entertainment — 7.3%  
    111,075     Alphabet, Inc. – Class A *     194,869,980  
    72,059     Alphabet, Inc. – Class C *     126,877,164  
    704,566     Facebook, Inc. – Class A *     195,143,645  
     

 

 

 
    Total Media & Entertainment     516,890,789  
     

 

 

 
          Pharmaceuticals, Biotechnology &
Life Sciences — 9.3%
 
    710,702     Eli Lilly & Co.     103,513,746  
     Shares /
Par Value†
    Description   Value ($)  
          Pharmaceuticals, Biotechnology & Life Sciences —
continued
 
    1,531,126     Johnson & Johnson     221,523,310  
    1,945,054     Merck & Co., Inc.     156,362,891  
    529,833     Roche Holding AG – Genusschein     174,022,008  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     655,421,955  
     

 

 

 
          Retailing — 2.9%  
    3,228,070     TJX Cos, Inc. (The)     205,014,726  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 9.4%  
    84,341     ASML Holding NV     36,644,809  
    433,197     Lam Research Corp.     196,090,954  
    13,703,790     Taiwan Semiconductor Manufacturing Co Ltd     233,263,576  
    1,250,990     Texas Instruments, Inc.     201,722,138  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     667,721,477  
     

 

 

 
          Software & Services — 19.2%  
    1,122,093     Accenture Plc – Class A     279,502,145  
    206,237     Adobe, Inc. *     98,678,217  
    1,890,339     Microsoft Corp.     404,664,870  
    4,048,493     Oracle Corp.     233,679,016  
    264,163     salesforce.com, Inc. *     64,931,266  
    1,371,504     SAP SE     165,562,886  
    527,860     Visa, Inc. – Class A     111,035,351  
     

 

 

 
    Total Software & Services     1,358,053,751  
     

 

 

 
          Technology Hardware & Equipment — 6.8%  
    2,715,754     Apple, Inc.     323,310,514  
    3,730,176     Cisco Systems, Inc.     160,472,171  
     

 

 

 
    Total Technology Hardware & Equipment     483,782,685  
     

 

 

 
          Transportation — 1.2%  
    2,137,911     Lyft, Inc. – Class A *     81,604,063  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $4,381,930,949)
    6,985,234,537  
     

 

 

 
          MUTUAL FUNDS — 0.1%  
          Affiliated Issuers — 0.1%  
    1,950,588     GMO U.S. Treasury Fund     9,830,961  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $9,752,902)
    9,830,961  
     

 

 

 
          SHORT-TERM INVESTMENTS — 1.3%  
          Money Market Funds — 0.1%  
    5,730,800     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (b)     5,730,800  
     

 

 

 
          U.S. Government — 1.2%  
    45,000,000     U.S. Treasury Bill, 0.10%, due 10/07/21 (c)     44,960,281  
 


GMO Quality Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
          U.S. Government — continued  
    40,000,000     U.S. Treasury Bill, 0.11%, due 11/04/21 (c)     39,958,689  
     

 

 

 
    Total U.S. Government     84,918,970  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $90,659,520)
    90,649,770  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $4,482,343,371)
    7,085,715,268  
    Other Assets and Liabilities (net) — (0.1%)     (5,193,581
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $7,080,521,687  
     

 

 

 

Notes to Schedule of Investments:

 

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

 

*

Non-income producing security.

 

(a)

Securities are traded on separate exchanges for the same entity.

 

(b)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 

(c)

The rate shown represents yield-to-maturity.

 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          COMMON STOCKS — 89.0%  
          Argentina — 1.0%  
    1,195,954     Adecoagro SA *     7,390,996  
     

 

 

 
          Australia — 5.1%  
    3,505,690     Beach Energy Ltd     4,476,104  
    14,700,000     Clean TeQ Holdings Ltd *     2,940,561  
    887,101     Fortescue Metals Group Ltd     11,818,489  
    4,770,582     Jupiter Mines Ltd     981,592  
    428,534     Mineral Resources Ltd (a)     10,160,359  
    1,909,832     Sandfire Resources NL     6,146,834  
     

 

 

 
    Total Australia     36,523,939  
     

 

 

 
          Austria — 1.4%  
    291,983     OMV AG     9,777,070  
     

 

 

 
          Brazil — 1.0%  
    342,700     Petroleo Brasileiro SA     1,634,372  
    1,194,657     Sao Martinho SA     5,835,699  
     

 

 

 
    Total Brazil     7,470,071  
     

 

 

 
          Canada — 4.7%  
    254,500     Canadian Solar Inc * (a)     10,882,420  
    243,200     Enerflex Ltd (a)     1,288,378  
    283,100     Frontera Energy Corp     608,184  
    2,932,000     Ivanhoe Mines Ltd – Class A * (a)     13,726,465  
    8,838,100     Largo Resources Ltd *     7,213,664  
     

 

 

 
    Total Canada     33,719,111  
     

 

 

 
          China — 4.6%  
    5,046,000     China High Speed Transmission Equipment Group Co Ltd     3,625,152  
    3,288,000     China Water Affairs Group Ltd     2,587,277  
    20,888,000     CNOOC Ltd     20,784,967  
    339,612     Sungrow Power Supply Co Ltd – Class A     2,479,666  
    2,196,400     Xinjiang Goldwind Science & Technology Co Ltd – Class H     3,533,752  
     

 

 

 
    Total China     33,010,814  
     

 

 

 
          Colombia — 0.9%  
    10,530,069     Ecopetrol SA     6,093,312  
     

 

 

 
          Denmark — 0.6%  
    21,946     Vestas Wind Systems A/S     4,472,890  
     

 

 

 
          Finland — 1.9%  
    201,344     Neste Oyj     13,453,860  
     

 

 

 
          France — 2.6%  
    113,372     Suez     2,168,674  
    248,490     TOTAL SA     10,547,251  
    103,327     Veolia Environnement SA     2,370,229  
         
Shares
    Description   Value ($)  
          France — continued  
    58,741     Vilmorin & Cie SA     3,492,888  
     

 

 

 
    Total France     18,579,042  
     

 

 

 
          Germany — 0.7%  
    554,063     K+S AG (Registered)     4,980,580  
     

 

 

 
          Hungary — 1.0%  
    1,072,359     MOL Hungarian Oil & Gas Plc *     7,152,104  
     

 

 

 
          India — 2.4%  
    6,047,822     Oil & Natural Gas Corp Ltd     6,335,326  
    1,192,557     Oil India Ltd     1,533,375  
    5,642,401     Vedanta Ltd     9,101,400  
     

 

 

 
    Total India     16,970,101  
     

 

 

 
          Israel — 1.5%  
    63,085     Equital Ltd *     1,412,398  
    959,199     ICL Group Ltd     4,561,937  
    25,715     Israel Corp Ltd (The) *     4,380,816  
    94,114     Naphtha Israel Petroleum Corp Ltd *     426,981  
     

 

 

 
    Total Israel     10,782,132  
     

 

 

 
          Japan — 1.9%  
    122,100     Ebara Corp     3,894,186  
    770,500     Inpex Corp     4,267,696  
    138,800     Mitsubishi Materials Corp (a)     2,624,216  
    53,600     Nittetsu Mining Co Ltd     2,704,130  
     

 

 

 
    Total Japan     13,490,228  
     

 

 

 
          Mexico — 2.5%  
    4,965,740     Grupo Mexico SAB de CV Series B     18,059,247  
     

 

 

 
          Norway — 2.6%  
    748,690     Austevoll Seafood ASA     6,808,233  
    2,922,953     DNO ASA * (a)     1,947,552  
    470,577     Equinor ASA     7,325,521  
    160,538     TGS NOPEC Geophysical Co ASA     2,206,073  
     

 

 

 
    Total Norway     18,287,379  
     

 

 

 
          Pakistan — 0.7%  
    3,324,222     Fauji Fertilizer Co Ltd     2,152,214  
    3,032,049     Oil & Gas Development Co Ltd     1,863,333  
    457,975     Pakistan Oilfields Ltd     1,129,280  
     

 

 

 
    Total Pakistan     5,144,827  
     

 

 

 
          Poland — 0.8%  
    4,335,248     Polskie Gornictwo Naftowe i Gazownictwo SA     5,534,487  
     

 

 

 
          Russia — 13.0%  
    1,265,530     Gazprom Neft PJSC     5,233,610  
    699,380     Gazprom PJSC     1,669,092  
    312,865     LUKOIL PJSC Sponsored ADR     20,140,733  
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Russia — continued  
    839,685     MMC Norilsk Nickel PJSC ADR     23,287,528  
    131,477     Novatek PJSC Sponsered GDR (Registered)     20,228,763  
    869,812     PhosAgro PJSC GDR (Registered)     11,109,949  
    575,419     Ros Agro Plc GDR (Registered)     6,126,450  
    739,296     Tatneft PJSC     4,766,946  
     

 

 

 
    Total Russia     92,563,071  
     

 

 

 
          Singapore — 0.0%  
    2,725,600     Ezra Holdings Ltd *(b)      
     

 

 

 
          South Africa — 0.3%  
    139,983     African Rainbow Minerals Ltd     2,164,867  
     

 

 

 
          South Korea — 0.2%  
    2,326     Young Poong Corp     1,072,289  
     

 

 

 
          Spain — 1.2%  
    879,938     Repsol SA     8,433,984  
     

 

 

 
          Switzerland — 0.6%  
    1,745     Gurit Holding AG     4,391,779  
     

 

 

 
          Thailand — 0.7%  
    1,523,164     PTT Exploration & Production Pcl (Foreign Registered)     4,841,672  
     

 

 

 
          Turkey — 0.4%  
    1,642,447     Koza Anadolu Metal Madencilik Isletmeleri AS *     2,656,584  
     

 

 

 
          Ukraine — 0.6%  
    325,180     Kernel Holding SA     4,204,279  
     

 

 

 
          United Kingdom — 12.6%  
    418,545     Anglo American Plc     12,187,966  
    440,378     BHP Group Plc     9,957,233  
    937,771     BP Plc     3,044,782  
    1,043,459     Central Asia Metals Plc     2,999,904  
    1,637,147     Ferrexpo Plc     4,590,971  
    8,413,445     Glencore Plc *     23,719,640  
    1,061,711     John Wood Group Plc *     4,153,814  
    744,897     Petrofac Ltd *(a)     1,503,592  
    1,657,344     Royal Dutch Shell Plc – A Shares     27,784,323  
     

 

 

 
    Total United Kingdom     89,942,225  
     

 

 

 
          United States — 21.5%  
    74,700     AGCO Corp.     6,910,497  
    25,531     Albemarle Corp.     3,471,450  
    88,800     Baker Hughes Co.     1,662,336  
    54,100     Cactus, Inc. – Class A     1,255,120  
    392,700     Darling Ingredients, Inc. *     18,959,556  
    53,300     Enphase Energy, Inc. *     7,279,181  
    64,600     First Solar, Inc. *     6,035,578  
    818,382     Freeport-McMoRan, Inc.     19,141,955  
     Shares /
Par Value†
    Description   Value ($)  
          United States — continued  
    111,700     FutureFuel Corp.     1,339,283  
    941,924     GrafTech International Ltd.     7,441,199  
    13,641,000     Kosmos Energy Ltd.     24,008,160  
    139,400     Liberty Oilfield Services, Inc. – Class A     1,296,420  
    280,500     Livent Corp. * (a)     4,255,185  
    643,607     Mosaic Co. (The)     14,133,610  
    323,900     NexTier Oilfield Solutions, Inc. *     906,920  
    348,400     ProPetro Holding Corp. *     2,010,268  
    311,354     Renewable Energy Group, Inc. *     18,083,440  
    43,055     SolarEdge Technologies, Inc. *     11,968,429  
    170,200     Talos Energy, Inc. *     1,456,912  
    735,200     W&T Offshore, Inc. * (a)     1,440,992  
     

 

 

 
    Total United States     153,056,491  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $554,526,847)
    634,219,431  
     

 

 

 
          PREFERRED STOCKS (c) — 9.2%  
          Brazil — 5.3%  
    3,258,599     Bradespar SA     35,338,896  
    616,100     Petroleo Brasileiro SA     2,863,495  
     

 

 

 
    Total Brazil     38,202,391  
     

 

 

 
          Chile — 1.8%  
    269,012     Sociedad Quimica y Minera de Chile SA Sponsored ADR     12,662,395  
     

 

 

 
          Russia — 2.1%  
    74,885     Bashneft PJSC     1,205,906  
    5,091,084     Surgutneftegas PJSC     2,645,037  
    1,830,786     Tatneft PJSC     11,221,619  
     

 

 

 
    Total Russia     15,072,562  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $44,295,824)
    65,937,348  
     

 

 

 
          DEBT OBLIGATIONS — 0.6%  
          United States — 0.6%  
    4,250,000     U.S. Treasury Note, 1.38%, due 01/31/22     4,311,592  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $4,311,827)
    4,311,592  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%  
          Singapore — 0.0%  
    2,117,812     Ezion Holdings Ltd, Expires 04/16/23*(a)(b)      
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
     
     

 

 

 
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 1.1%  
          Money Market Funds — 1.1%  
    8,069,823     State Street Institutional Treasury Money Market Fund – Premier Class,0.01% (d)     8,069,823  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $8,069,823)
    8,069,823  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $611,204,321)
    712,538,194  
    Other Assets and Liabilities (net) — 0.1%     430,307  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $712,968,501  
     

 

 

 

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 November 30, 2020.

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)

November 30, 2020 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
          DEBT OBLIGATIONS — 40.7%  
          U.S. Government — 40.7%  
    5,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.06%, 0.14%, due 07/31/22     5,000,641  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $5,000,000)
    5,000,641  
     

 

 

 
          SHORT-TERM INVESTMENTS — 57.9%  
          Money Market Funds — 3.9%  
    480,432     State Street Institutional Treasury Money Market Fund-Premier Class, 0.01% (a)     480,432  
     

 

 

 
         
Par Value†
    Description   Value ($)  
          U.S. Government — 54.0%  
    6,600,000     U.S. Treasury Note, 1.13%, due 06/30/21 (b)     6,639,703  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $7,103,430)
    7,120,135  
     

 

 

 
    TOTAL INVESTMENTS — 98.6%
(Cost $12,103,430)
    12,120,776  
    Other Assets and Liabilities (net) — 1.4%     168,064  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $12,288,840  
     

 

 

 
 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Written Options

Index Options

 

Description      Exercise
Price
     Expiration
Date
       Number of
Contracts
       Notional
Amount
    Value ($)  

Index Options – Puts

                          

S&P 500 Index

     3,570.00        12/18/20          34          USD          (12,313,542     (124,780
                          

 

 

 
     TOTAL WRITTEN OPTIONS
(Premiums $249,107)

 

  $ (124,780
      

 

 

 

As of November 30, 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)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 

(b)

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 November 30, 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:

USD - United States Dollar

 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 95.5%  
          Australia — 4.6%  
    6,116     Accent Group Ltd     9,701  
    1,462     Australian Pharmaceutical Industries Ltd     1,292  
    66,782     Fortescue Metals Group Ltd     889,710  
    3,342     JB Hi-Fi Ltd     112,258  
    9,602     Rio Tinto Ltd     716,395  
     

 

 

 
    Total Australia     1,729,356  
     

 

 

 
          Belgium — 1.3%  
    79     Sofina SA     25,077  
    4,429     UCB SA     473,959  
     

 

 

 
    Total Belgium     499,036  
     

 

 

 
          Brazil — 0.5%  
    24,800     Banco do Brasil SA     156,742  
    4,100     Cia de Saneamento do Parana     19,132  
    3,600     Qualicorp Consultoria e Corretora de Seguros SA     22,289  
     

 

 

 
    Total Brazil     198,163  
     

 

 

 
          China — 2.0%  
    19,000     BAIC Motor Corp Ltd – Class H     7,111  
    423,000     Bank of China Ltd – Class H     149,301  
    223,000     Bank of Communications Co Ltd – Class H     123,232  
    47,000     China CITIC Bank Corp Ltd – Class H     20,329  
    121,000     China Everbright Bank Co Ltd – Class H     47,197  
    90,000     China Huarong Asset Management Co Ltd – Class H     10,318  
    90,000     China Lesso Group Holdings Ltd     160,874  
    54,000     China Medical System Holdings Ltd     55,137  
    49,000     China Minsheng Banking Corp Ltd – Class H     27,028  
    35,000     China Railway Group Ltd – Class H     17,277  
    3,000     China SCE Group Holdings Ltd     1,374  
    37,000     Chongqing Rural Commercial Bank Co Ltd – Class H     15,865  
    4,000     IGG Inc     3,992  
    42,300     Shanghai Pharmaceuticals Holding Co Ltd – Class H     71,530  
    11,000     TCL Electronics Holdings Ltd *     8,661  
    10,000     Tianneng Power International Ltd     20,981  
     

 

 

 
    Total China     740,207  
     

 

 

 
          Denmark — 0.1%  
    2,720     Scandinavian Tobacco Group A/S     41,856  
     

 

 

 
          France — 7.9%  
    323     APERAM SA     12,277  
    600     ArcelorMittal SA *     10,910  
    4,982     BNP Paribas SA *     253,590  
    87     Christian Dior SE     44,362  
    440     Cie de Saint-Gobain *     20,844  
    247     Cie Generale des Etablissements Michelin SCA     30,724  
    7,150     Credit Agricole SA *     82,491  
    1,112     Eiffage SA *     108,717  
    27     Faurecia SE *     1,337  
     Shares     Description   Value ($)  
          France — continued  
    246     Fnac Darty SA *     13,152  
    432     Kaufman & Broad SA     18,378  
    1,135     L’Oreal SA     417,789  
    705     La Francaise des Jeux SAEM     29,486  
    196     Legrand SA     16,597  
    555     Nexans SA *     34,965  
    11,162     Peugeot SA *     261,875  
    1,207     Quadient SA     21,577  
    770     Rexel SA *     10,413  
    9,630     Sanofi     970,693  
    2,562     Schneider Electric SE     356,952  
    410     SEB SA     72,628  
    5,712     Societe Generale SA *     113,256  
    769     TOTAL SE     32,641  
    361     Valeo SA     13,927  
     

 

 

 
    Total France     2,949,581  
     

 

 

 
          Germany — 4.5%  
    276     AIXTRON SE *     4,018  
    362     Allianz SE (Registered)     84,847  
    362     BASF SE     26,465  
    889     Bayerische Motoren Werke AG     77,138  
    753     Bechtle AG     164,383  
    470     Brenntag AG     35,992  
    1,901     Daimler AG (Registered)     127,275  
    1,063     Deutsche Pfandbriefbank AG *     10,589  
    218     Deutsche Post AG (Registered)     10,516  
    6,286     Dialog Semiconductor Plc *     335,468  
    909     DWS Group GmbH & Co KGaA     35,399  
    169     Eckert & Ziegler Strahlen- und Medizintechnik AG     8,693  
    356     Elmos Semiconductor SE     11,367  
    144     Hannover Rueck SE     24,065  
    1,379     HeidelbergCement AG     97,558  
    755     Henkel AG & Co KGaA     72,845  
    959     Merck KGaA     153,133  
    1,747     Siemens AG (Registered)     233,180  
    1     Siemens Healthineers AG     46  
    1,053     Software AG     45,218  
    631     Volkswagen AG     116,634  
     

 

 

 
    Total Germany     1,674,829  
     

 

 

 
          Hong Kong — 1.4%  
    7,600     Chow Tai Fook Jewellery Group Ltd     9,921  
    11,200     Dah Sing Banking Group Ltd     12,007  
    6,000     Johnson Electric Holdings Ltd     14,135  
    4,500     Kerry Logistics Network Ltd     9,864  
    574,500     WH Group Ltd     468,029  
     

 

 

 
    Total Hong Kong     513,956  
     

 

 

 
          Hungary — 0.2%  
    3,883     Magyar Telekom Telecommunications Plc     5,012  
    2,515     Richter Gedeon Nyrt     59,601  
     

 

 

 
    Total Hungary     64,613  
     

 

 

 
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          India — 0.4%  
    37,955     Power Finance Corp Ltd     55,035  
    1,169     Rajesh Exports Ltd *     7,098  
    60,826     REC Ltd     97,154  
     

 

 

 
    Total India     159,287  
     

 

 

 
          Ireland — 2.1%  
    6,765     CRH Plc     262,306  
    4,260     CRH Plc Sponsored ADR     167,205  
    63     Flutter Entertainment Plc *     11,478  
    432     Kerry Group Plc – Class A     60,574  
    110     Kingspan Group Plc *     9,597  
    5,872     Smurfit Kappa Group Plc (a)     249,831  
    301     Smurfit Kappa Group Plc (a)     12,627  
     

 

 

 
    Total Ireland     773,618  
     

 

 

 
          Italy — 2.5%  
    3,466     Arnoldo Mondadori Editore SPA *     6,177  
    307     Banca Mediolanum SPA *     2,806  
    807     De’ Longhi SPA *     28,174  
    48,652     Enel SPA     488,117  
    5,591     EXOR NV     391,087  
    235     Recordati Industria Chimica e Farmaceutica SPA     12,569  
    1,623     Unipol Gruppo SPA *     7,828  
     

 

 

 
    Total Italy     936,758  
     

 

 

 
          Japan — 20.4%  
    45,500     Astellas Pharma Inc     648,081  
    4,200     Bandai Namco Holdings Inc     382,234  
    6,100     Brother Industries Ltd     116,517  
    4,300     Chugai Pharmaceutical Co Ltd     207,979  
    1,100     Daiwabo Holdings Co Ltd     68,653  
    800     DCM Holdings Co Ltd     9,080  
    600     Dip Corp     13,937  
    700     Fuji Corp     16,913  
    1,200     FUJIFILM Holdings Corp     64,556  
    2,700     Fujitsu General Ltd     81,685  
    4,700     Fujitsu Ltd     650,189  
    10,900     Haseko Corp     117,800  
    6,900     Hitachi Ltd     261,881  
    24,400     ITOCHU Corp     643,898  
    2,000     Itochu Techno-Solutions Corp     70,523  
    400     Japan Post Insurance Co Ltd     6,655  
    3,500     K’s Holdings Corp     42,500  
    29,800     KDDI Corp     848,000  
    800     Kohnan Shoji Co Ltd     24,728  
    8,500     Mitsubishi Chemical Holdings Corp     46,795  
    700     Mitsubishi Gas Chemical Co Inc     14,816  
    38,900     Mitsubishi UFJ Financial Group Inc     165,999  
    600     Mixi Inc     16,395  
    2,700     Mizuho Financial Group Inc     34,208  
    2,000     NEC Corp     107,754  
    3,300     NEC Networks & System Integration Corp     58,278  
     Shares     Description   Value ($)  
          Japan — continued  
    1,000     Nichias Corp     23,253  
    34,600     Nippon Telegraph & Telephone Corp     818,299  
    100     Nitori Holdings Co Ltd     21,262  
    100     NS Solutions Corp     2,954  
    400     NTT DOCOMO Inc     14,877  
    4,800     Obayashi Corp     42,250  
    700     Otsuka Corp     33,945  
    2,900     Recruit Holdings Co Ltd     121,571  
    1,600     Sekisui Chemical Co Ltd     27,581  
    2,000     Sekisui House Ltd     35,862  
    100     Shimamura Co Ltd     10,303  
    3,700     Shimizu Corp     27,982  
    18,800     Sojitz Corp     41,059  
    5,500     Sony Corp     512,520  
    100     Sugi Holdings Co Ltd     6,628  
    2,600     Sumitomo Mitsui Financial Group Inc     74,757  
    400     Sushiro Global Holdings Ltd     12,754  
    2,600     Tokyo Electron Ltd     883,619  
    9,400     Tosoh Corp     147,218  
    200     Toyo Suisan Kaisha Ltd     9,837  
    2,000     Ushio Inc     25,089  
    1,300     Wacom Co Ltd     12,035  
     

 

 

 
    Total Japan     7,625,709  
     

 

 

 
          Malaysia — 0.0%  
    7,400     Kossan Rubber Industries     11,383  
     

 

 

 
          Malta — 0.0%  
    1,718,063     BGP Holdings Plc * (b)      
     

 

 

 
          Netherlands — 7.5%  
    715     Aalberts NV     30,844  
    1,430     ASM International NV     252,126  
    2,129     ASR Nederland NV     78,897  
    560     Flow Traders     18,026  
    639     Heineken Holding NV     58,873  
    10,648     ING Groep NV *     103,570  
    28,917     Koninklijke Ahold Delhaize NV     826,775  
    4,081     PostNL NV *     13,898  
    5,681     Randstad NV *     351,360  
    9,474     Signify NV *     399,346  
    2,754     TomTom NV *     22,466  
    7,837     Wolters Kluwer NV     656,101  
     

 

 

 
    Total Netherlands     2,812,282  
     

 

 

 
          Norway — 0.7%  
    3,525     BW LPG Ltd     22,511  
    19,143     Orkla ASA     183,234  
    35     Salmar ASA *     1,913  
    1,503     SpareBank 1 Nord Norge     12,333  
    2,652     SpareBank 1 SR-Bank ASA *     26,452  
     

 

 

 
    Total Norway     246,443  
     

 

 

 
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Poland — 0.1%  
    233     Asseco Poland SA     4,119  
    1,891     Polski Koncern Naftowy ORLEN SA     27,926  
     

 

 

 
    Total Poland     32,045  
     

 

 

 
          Portugal — 3.2%  
    5,564     EDP Renovaveis SA     117,928  
    143,077     EDP – Energias de Portugal SA     764,784  
    16,923     Jeronimo Martins SGPS SA     289,967  
    1,369     NOS SGPS SA     5,235  
     

 

 

 
    Total Portugal     1,177,914  
     

 

 

 
          Russia — 1.2%  
    8,367     Gazprom PJSC Sponsored ADR     38,602  
    705,000     Inter RAO UES PJSC     47,346  
    2,375     LUKOIL PJSC     157,233  
    1,819     LUKOIL PJSC Sponsored ADR     117,098  
    399,000     ROSSETI PJSC     8,815  
    5,368     Sberbank of Russia PJSC Sponsored ADR     70,812  
    9,800     Surgutneftegas PJSC     4,527  
     

 

 

 
    Total Russia     444,433  
     

 

 

 
          Singapore — 4.0%  
    17,700     AEM Holdings Ltd     46,249  
    300     City Developments Ltd     1,727  
    33,500     DBS Group Holdings Ltd     624,962  
    4,000     Jardine Cycle & Carriage Ltd     57,532  
    6,300     Mapletree Industrial Trust (REIT)     13,756  
    20,500     Oversea-Chinese Banking Corp Ltd     152,838  
    3,800     Riverstone Holdings Ltd/Singapore     3,732  
    25,300     Singapore Exchange Ltd     166,818  
    11,700     Venture Corp Ltd     163,300  
    55,500     Wilmar International Ltd     172,766  
    108,600     Yangzijiang Shipbuilding Holdings Ltd     70,570  
    16,000     Yanlord Land Group Ltd     13,209  
     

 

 

 
    Total Singapore     1,487,459  
     

 

 

 
          South Africa — 0.1%  
    2,613     Aspen Pharmacare Holdings Ltd *     20,752  
    11,423     Netcare Ltd     9,081  
    15,577     Old Mutual Ltd     11,345  
     

 

 

 
    Total South Africa     41,178  
     

 

 

 
          South Korea — 2.3%  
    520     DongKook Pharmaceutical Co Ltd     12,079  
    419     DoubleUGames Co Ltd     22,213  
    10,612     Hana Financial Group Inc     322,538  
    487     KB Financial Group Inc     20,132  
    8,069     Kia Motors Corp     422,043  
    293     Sebang Global Battery Co Ltd     11,638  
    2,117     Shinhan Financial Group Co Ltd     62,337  
     

 

 

 
    Total South Korea     872,980  
     

 

 

 
     Shares     Description   Value ($)  
          Spain — 5.5%  
    1,171     Acerinox SA     12,135  
    1,056     Aena SME SA *     172,031  
    10,127     Banco Bilbao Vizcaya Argentaria SA     46,894  
    28,444     Banco Santander SA *     82,491  
    90     Cia de Distribucion Integral Logista Holdings SA     1,660  
    13,151     Endesa SA     377,993  
    51,922     Iberdrola SA     712,770  
    15,802     Industria de Diseno Textil SA     524,538  
    1,054     Red Electrica Corp SA     21,547  
    1,209     Viscofan SA     85,684  
     

 

 

 
    Total Spain     2,037,743  
     

 

 

 
          Sweden — 1.8%  
    1,355     Betsson AB *     11,690  
    580     Lindab International AB     10,116  
    911     Mycronic AB     24,117  
    1,530     Skanska AB – B Shares     36,354  
    5,959     Swedish Match AB     482,094  
    2,393     Volvo AB – A Shares *     55,003  
    1,782     Volvo AB – B Shares *     40,588  
     

 

 

 
    Total Sweden     659,962  
     

 

 

 
          Switzerland — 5.8%  
    3,412     ABB Ltd (Registered)     90,239  
    160     ALSO Holding AG (Registered) *     41,874  
    363     Logitech International SA (Registered)     32,352  
    1,182     Nestle SA (Registered)     132,401  
    6,600     Novartis AG (Registered)     597,534  
    207     Roche Holding AG     68,811  
    3,593     Roche Holding AG – Genusschein     1,180,110  
    165     Vetropack Holding AG (Registered) *     10,757  
     

 

 

 
    Total Switzerland     2,154,078  
     

 

 

 
          Taiwan — 0.8%  
    37,000     China Development Financial Holding Corp     11,587  
    9,000     Fubon Financial Holding Co Ltd     13,989  
    10,000     Hon Hai Precision Industry Co Ltd     28,869  
    24,000     Inventec Corp     19,605  
    104,000     Pou Chen Corp     113,914  
    27,000     Radiant Opto-Electronics Corp     109,965  
    11,000     Sunplus Technology Co Ltd *     6,021  
    4,595     TOPBI International Holdings Ltd     5,082  
     

 

 

 
    Total Taiwan     309,032  
     

 

 

 
          Thailand — 0.0%  
    52,700     AP Thailand Pcl NVDR     12,188  
     

 

 

 
          Turkey — 1.8%  
    37,805     Akbank TAS *     29,112  
    61,796     Eregli Demir ve Celik Fabrikalari TAS     86,875  
    56,444     Haci Omer Sabanci Holding AS     69,474  
    330     TAV Havalimanlari Holding AS     800  
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Turkey — continued  
    1,488     Turk Telekomunikasyon AS     1,459  
    174,364     Turkiye Garanti Bankasi AS *     195,321  
    130,228     Turkiye Is Bankasi AS – Class C *     108,718  
    112,012     Turkiye Sinai Kalkinma Bankasi AS *     32,815  
    91,559     Turkiye Sise ve Cam Fabrikalari AS     79,547  
    171,529     Yapi ve Kredi Bankasi AS *     62,863  
     

 

 

 
    Total Turkey     666,984  
     

 

 

 
          United Kingdom — 12.8%  
    24,203     3i Group Plc     342,159  
    2,609     Anglo American Plc     75,974  
    5,510     B&M European Value Retail SA     34,838  
    41,931     BAE Systems Plc     279,755  
    49,928     Barratt Developments Plc *     409,329  
    2,561     Bellway Plc     96,200  
    5,101     Berkeley Group Holdings Plc (The)     311,792  
    9,844     British American Tobacco Plc     346,531  
    11,800     British American Tobacco Plc Sponsored ADR     416,658  
    370     Bunzl Plc     11,524  
    2,970     Coca-Cola HBC AG *     84,837  
    1,582     Computacenter Plc     46,638  
    443     Cranswick Plc     20,189  
    4,124     Dunelm Group Plc *     66,327  
    6,773     Electrocomponents Plc     72,935  
    2,007     Ferguson Plc     224,662  
    17,524     Ferrexpo Plc     49,142  
    1,057     Fresnillo Plc     14,871  
    100     GlaxoSmithKline Plc Sponsored ADR     3,679  
    5,217     Howden Joinery Group Plc *     43,663  
    7,411     IG Group Holdings Plc     78,953  
    2,037     Imperial Brands Plc     36,772  
    12,408     Inchcape Plc *     98,777  
    1,112     Intermediate Capital Group Plc     23,984  
    7,940     JD Sports Fashion Plc *     81,476  
    6,108     John Laing Group Plc     25,696  
    34,915     Kingfisher Plc *     126,798  
    95,214     Legal & General Group Plc     314,432  
    610     Morgan Sindall Group Plc     11,313  
    1,844     Next Plc     159,290  
    14,129     Persimmon Plc     495,818  
    81     Phoenix Group Holdings Plc     767  
    5,371     Plus500 Ltd     110,233  
    11,898     QinetiQ Group Plc     46,263  
    572     Softcat Plc     8,623  
    6,954     Spirent Communications Plc     23,746  
    19,783     Tate & Lyle Plc     167,122  
     

 

 

 
    Total United Kingdom     4,761,766  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $26,534,872)
    35,634,839  
     

 

 

 
          PREFERRED STOCKS (c) — 1.3%  
          Brazil — 0.1%  
    2,000     Cia Paranaense de Energia – Class B     25,486  
     

 

 

 
     Shares     Description   Value ($)  
          Germany — 1.1%  
    458     Bayerische Motoren Werke AG     30,093  
    688     Draegerwerk AG & Co KGaA     53,908  
    2,326     Henkel AG & Co KGaA     250,244  
    689     Volkswagen AG     115,654  
     

 

 

 
    Total Germany     449,899  
     

 

 

 
          Russia — 0.1%  
    43,100     Surgutneftegas PJSC     22,393  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $440,251)
    497,778  
     

 

 

 
          MUTUAL FUNDS — 0.7%  
          United States — 0.7%  
          Affiliated Issuers — 0.7%  
    52,612     GMO U.S. Treasury Fund     265,165  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $264,107)
    265,165  
     

 

 

 
          SHORT-TERM INVESTMENTS — 1.2%  
          Money Market Funds — 1.2%  
    442,504     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (d)     442,504  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $442,504)
    442,504  
     

 

 

 
         

TOTAL INVESTMENTS — 98.7%

(Cost $27,681,734)

  36,840,286  
    Other Assets and Liabilities (net) — 1.3%     478,296  
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 37,318,582  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Futures Contracts

 

Number
of
Contracts +

  Type   Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
1   Mini
MSCI
EAFE
  December 2020   $ 101,650     $ (240
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

  

Sales - Fund is short the futures contract.

 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

As of November 30, 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)

Securities are traded on separate exchanges for the same entity.

 

(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 November 30, 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)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 99.1%

 

          Automobiles & Components — 1.9%  
    19,400     Aptiv Plc     2,302,780  
    6,600     Autoliv, Inc.     587,730  
    29,000     BorgWarner, Inc.     1,126,650  
    6,500     Cooper Tire & Rubber Co.     258,245  
    15,400     Dana, Inc.     259,336  
    23,600     Gentex Corp.     769,360  
    6,900     Lear Corp.     986,355  
    4,700     Standard Motor Products, Inc.     217,563  
    3,700     Visteon Corp. *     447,145  
     

 

 

 
    Total Automobiles & Components     6,955,164  
     

 

 

 
          Banks — 4.5%  
    15,700     Associated Banc-Corp.     240,524  
    46,900     Citizens Financial Group, Inc.     1,531,754  
    4,100     Comerica, Inc.     201,720  
    5,900     East West Bancorp, Inc.     252,048  
    55,300     Fifth Third Bancorp     1,401,302  
    21,600     First Horizon National Corp.     263,952  
    6,700     Flagstar Bancorp, Inc.     234,768  
    7,300     Hilltop Holdings, Inc.     175,857  
    56,800     Huntington Bancshares, Inc.     686,144  
    44,800     JPMorgan Chase & Co.     5,281,024  
    13,600     KeyCorp.     210,256  
    34,000     MGIC Investment Corp.     406,640  
    10,500     Old National Bancorp     166,215  
    5,900     PennyMac Financial Services, Inc.     340,076  
    10,800     PNC Financial Services Group, Inc. (The)     1,491,156  
    61,300     Regions Financial Corp.     936,051  
    1,900     Signature Bank/New York NY     213,161  
    800     SVB Financial Group*     275,888  
    38,400     US Bancorp     1,659,264  
    4,100     Walker & Dunlop, Inc.     328,041  
    3,400     Wintrust Financial Corp.     185,266  
     

 

 

 
    Total Banks     16,481,107  
     

 

 

 
          Capital Goods — 9.3%  
    2,300     3M Co.     397,279  
    9,300     A O Smith Corp.     523,683  
    3,600     Acuity Brands, Inc.     427,392  
    10,900     AGCO Corp.     1,008,359  
    13,100     Allison Transmission Holdings, Inc.     537,755  
    7,600     BMC Stock Holdings, Inc. *     371,944  
    16,200     Builders FirstSource, Inc. *     606,042  
    2,100     Carlisle Cos, Inc.     304,143  
    6,300     Crane Co.     438,039  
    13,526     Cummins, Inc.     3,126,805  
    6,800     Curtiss-Wright Corp.     783,768  
    22,100     Eaton Corp Plc     2,676,531  
    6,600     EMCOR Group, Inc.     568,788  
    13,100     Emerson Electric Co.     1,006,342  
     Shares     Description   Value ($)  
          Capital Goods — continued  
    3,600     EnerSys     294,516  
    9,794     Federal Signal Corp.     303,908  
    15,900     Fortive Corp.     1,115,067  
    4,600     Generac Holdings, Inc. *     991,760  
    8,900     General Dynamics Corp.     1,329,215  
    3,800     Gibraltar Industries, Inc. *     248,748  
    3,800     Lockheed Martin Corp.     1,387,000  
    13,500     Masco Corp.     724,545  
    6,396     Moog, Inc. – Class A     494,795  
    12,800     Mueller Industries, Inc.     419,328  
    8,600     Northrop Grumman Corp.     2,599,436  
    10,331     Oshkosh Corp.     831,645  
    8,500     Owens Corning     619,395  
    28,300     PACCAR, Inc.     2,463,798  
    7,200     Parker-Hannifin Corp.     1,924,272  
    5,900     Stanley Black & Decker, Inc.     1,087,429  
    2,323     Teledyne Technologies, Inc. *     877,955  
    27,991     Textron, Inc.     1,262,394  
    8,579     Timken Co. (The)     630,042  
    2,800     Toro Co. (The)     253,988  
    14,696     UFP Industries, Inc.     788,440  
    600     WW Grainger, Inc.     250,980  
     

 

 

 
    Total Capital Goods     33,675,526  
     

 

 

 
          Commercial & Professional Services — 1.0%  
    12,009     Brady Corp. – Class A     530,558  
    10,200     CBIZ, Inc. *     247,044  
    3,200     Cimpress Plc *     286,816  
    9,700     CoreLogic Inc/United States     751,750  
    13,704     Herman Miller, Inc.     488,410  
    10,700     HNI Corp.     390,122  
    7,700     ManpowerGroup, Inc.     667,205  
    18,000     Steelcase, Inc. – Class A     218,700  
     

 

 

 
    Total Commercial & Professional Services     3,580,605  
     

 

 

 
          Consumer Durables & Apparel — 3.7%  
    6,000     Brunswick Corp.     447,840  
    3,000     Deckers Outdoor Corp. *     763,770  
    29,400     DR Horton, Inc.     2,190,300  
    22,287     Garmin Ltd.     2,602,230  
    30,600     Hanesbrands, Inc.     434,520  
    2,100     Helen of Troy Ltd. *     424,179  
    12,600     La-Z-Boy, Inc.     466,704  
    9,100     MDC Holdings, Inc.     439,257  
    5,600     Mohawk Industries, Inc. *     704,648  
    190     NVR, Inc. *     759,464  
    10,600     Polaris, Inc.     1,017,600  
    26,600     PulteGroup, Inc.     1,160,558  
    4,800     Ralph Lauren Corp.     411,600  
    15,400     Skechers U.S.A., Inc. – Class A *     515,438  
    9,500     Steven Madden Ltd.     298,965  
    19,600     Tempur Sealy International, Inc. *     493,724  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Consumer Durables & Apparel — continued  
    22,600     TRI Pointe Group, Inc. *     395,048  
     

 

 

 
    Total Consumer Durables & Apparel     13,525,845  
     

 

 

 
          Consumer Services — 0.5%  
    5,800     Brinker International, Inc.     290,638  
    1,048     Graham Holdings Co. – Class B     468,477  
    37,100     H&R Block, Inc.     697,480  
    20,600     Perdoceo Education Corp. *     233,604  
     

 

 

 
    Total Consumer Services     1,690,199  
     

 

 

 
          Diversified Financials — 3.9%  
    4,700     Affiliated Managers Group, Inc.     409,464  
    24,600     Ally Financial, Inc.     729,390  
    8,900     American Express Co.     1,055,451  
    8,014     Ameriprise Financial, Inc.     1,484,513  
    7,800     Artisan Partners Asset Management, Inc. – Class A     351,000  
    45,000     Bank of New York Mellon Corp. (The)     1,760,400  
    13,200     Discover Financial Services     1,005,444  
    10,500     Eaton Vance Corp.     703,290  
    22,300     Federated Hermes, Inc.     598,532  
    7,800     Franklin Resources, Inc.     171,522  
    3,100     Nasdaq, Inc.     396,769  
    7,200     OneMain Holdings, Inc.     280,728  
    9,300     Raymond James Financial, Inc.     845,835  
    14,700     SEI Investments Co.     775,425  
    51,500     SLM Corp.     546,415  
    25,900     State Street Corp.     1,825,432  
    35,900     Synchrony Financial     1,093,873  
     

 

 

 
    Total Diversified Financials     14,033,483  
     

 

 

 
          Energy — 0.4%  
    20,804     Phillips 66     1,260,306  
    12,900     World Fuel Services Corp.     366,618  
     

 

 

 
    Total Energy     1,626,924  
     

 

 

 
          Food & Staples Retailing — 0.9%  
    800     Costco Wholesale Corp.     313,416  
    85,600     Kroger Co. (The)     2,824,800  
    12,400     Sprouts Farmers Market, Inc. *     262,508  
     

 

 

 
    Total Food & Staples Retailing     3,400,724  
     

 

 

 
          Food, Beverage & Tobacco — 3.7%  
    6,600     Archer-Daniels-Midland Co.     328,482  
    6,800     Campbell Soup Co.     340,136  
    8,600     Conagra Brands, Inc.     314,416  
    36,100     General Mills, Inc.     2,195,602  
    4,300     Hershey Co. (The)     635,927  
    16,700     Mondelez International, Inc. – Class A     959,415  
    57,800     PepsiCo, Inc.     8,336,494  
    3,600     Tyson Foods, Inc. – Class A     234,720  
    5,400     Universal Corp.     245,754  
     

 

 

 
    Total Food, Beverage & Tobacco     13,590,946  
     

 

 

 
     Shares     Description   Value ($)  
          Health Care Equipment & Services — 3.3%  
    14,500     AmerisourceBergen Corp.     1,495,095  
    13,400     Cardinal Health, Inc.     731,506  
    17,800     Edwards Lifesciences Corp. *     1,493,242  
    9,600     HCA Healthcare, Inc.     1,441,056  
    2,200     Laboratory Corp. of America Holdings *     439,648  
    16,178     McKesson Corp.     2,910,584  
    16,500     Medtronic Plc     1,876,050  
    2,000     Quest Diagnostics, Inc.     247,960  
    1,900     STERIS Plc     368,239  
    4,100     West Pharmaceutical Services, Inc.     1,128,156  
     

 

 

 
    Total Health Care Equipment & Services     12,131,536  
     

 

 

 
          Household & Personal Products — 1.1%  
    5,200     Church & Dwight Co., Inc.     456,404  
    6,100     Clorox Co. (The)     1,238,056  
    24,000     Colgate-Palmolive Co.     2,055,360  
    5,300     Nu Skin Enterprises, Inc. – Class A     273,003  
     

 

 

 
    Total Household & Personal Products     4,022,823  
     

 

 

 
          Insurance — 2.5%  
    20,800     Aflac, Inc.     913,744  
    31,102     Allstate Corp. (The)     3,183,289  
    25,200     Fidelity National Financial, Inc.     906,948  
    13,304     First American Financial Corp.     644,446  
    3,900     Hanover Insurance Group, Inc. (The)     438,165  
    7,800     National General Holdings Corp.     265,824  
    11,800     Old Republic International Corp.     211,456  
    6,000     Principal Financial Group, Inc.     298,740  
    26,507     Progressive Corp. (The)     2,309,025  
     

 

 

 
    Total Insurance     9,171,637  
     

 

 

 
          Materials — 4.9%  
    70,400     Amcor Plc     797,632  
    3,000     Ashland Global Holdings, Inc.     225,510  
    5,900     Avery Dennison Corp.     881,106  
    13,600     Avient Corp.     497,080  
    7,600     Berry Global Group, Inc. *     402,800  
    4,100     Cabot Corp.     169,781  
    9,200     Commercial Metals Co.     183,172  
    13,200     Corteva, Inc.     505,824  
    4,000     Crown Holdings, Inc. *     377,000  
    6,000     DuPont de Nemours, Inc.     380,640  
    16,400     Eastman Chemical Co.     1,597,360  
    7,800     FMC Corp.     904,878  
    17,700     Graphic Packaging Holding Co.     271,164  
    4,700     HB Fuller Co.     245,951  
    5,200     International Paper Co.     257,296  
    4,900     Louisiana-Pacific Corp.     167,727  
    20,579     LyondellBasell Industries NV – Class A     1,751,273  
    1,600     NewMarket Corp.     591,616  
    12,800     Nucor Corp.     687,360  
    11,300     Reliance Steel & Aluminum Co.     1,331,140  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Materials — continued  
    4,000     Scotts Miracle-Gro Co. (The)     703,080  
    12,800     Sealed Air Corp.     576,768  
    3,700     Sensient Technologies Corp.     265,364  
    1,500     Sherwin-Williams Co. (The)     1,121,445  
    13,900     Silgan Holdings, Inc.     469,820  
    13,600     Steel Dynamics, Inc.     492,456  
    3,000     Stepan Co.     348,480  
    37,600     Valvoline, Inc.     856,904  
    16,900     Westrock Co.     713,349  
     

 

 

 
    Total Materials     17,773,976  
     

 

 

 
          Media & Entertainment — 6.7%  
    63,900     Activision Blizzard, Inc.     5,078,772  
    1,600     Alphabet, Inc. – Class C *     2,817,184  
    87,800     Comcast Corp. – Class A     4,411,072  
    10,100     DISH Network Corp. – Class A *     362,287  
    62,100     Electronic Arts, Inc. *     7,933,275  
    31,800     Interpublic Group of Cos., Inc. (The)     708,504  
    19,489     Omnicom Group, Inc.     1,227,807  
    35,685     TEGNA, Inc.     514,221  
    143,900     Zynga Inc. – Class A *     1,187,175  
     

 

 

 
    Total Media & Entertainment     24,240,297  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life
Sciences — 9.1%
 
    23,900     AbbVie, Inc.     2,499,462  
    8,300     Amgen, Inc.     1,842,932  
    9,700     Biogen, Inc. *     2,329,649  
    63,800     Bristol-Myers Squibb Co.     3,981,120  
    53,300     Eli Lilly & Co.     7,763,145  
    35,500     Gilead Sciences, Inc.     2,153,785  
    76,631     Merck & Co., Inc.     6,160,366  
    133,538     Pfizer, Inc.     5,115,841  
    6,600     Prestige Consumer Healthcare, Inc. *     234,762  
    4,500     United Therapeutics Corp. *     596,880  
    36,469     Viatris, Inc. *     613,409  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     33,291,351  
     

 

 

 
          Retailing — 9.4%  
    3,900     Aaron’s Holdings Co., Inc.     245,427  
    2,700     Amazon.com, Inc. *     8,553,708  
    4,000     Asbury Automotive Group, Inc. *     451,080  
    15,400     AutoNation, Inc. *     943,866  
    500     AutoZone, Inc. *     568,825  
    24,540     Best Buy Co., Inc.     2,669,952  
    6,100     Big Lots, Inc.     315,187  
    11,000     Core-Mark Holding Co., Inc.     343,090  
    35,800     Designer Brands, Inc. – Class A     282,820  
    11,500     Dick’s Sporting Goods, Inc.     653,315  
    11,500     Dollar General Corp.     2,513,670  
    97,055     eBay, Inc.     4,894,484  
    9,200     Foot Locker, Inc.     344,080  
     Shares     Description   Value ($)  
          Retailing — continued  
    14,400     Gap Inc. (The)     301,824  
    11,100     Genuine Parts Co.     1,091,907  
    4,989     Group 1 Automotive, Inc.     592,743  
    27,900     L Brands, Inc.     1,082,799  
    1,000     Lithia Motors, Inc. – Class A     289,300  
    16,800     Lowe’s Cos., Inc.     2,617,776  
    5,800     Murphy U.S.A., Inc.     743,560  
    4,400     Penske Automotive Group, Inc.     242,308  
    57,200     Qurate Retail, Inc. – Series A     598,884  
    8,600     Rent-A-Center, Inc.     290,852  
    4,300     Sleep Number Corp. *     298,377  
    12,300     Target Corp.     2,208,219  
    11,200     Williams-Sonoma, Inc.     1,226,064  
     

 

 

 
    Total Retailing     34,364,117  
     

 

 

 
          Semiconductors & Semiconductor
Equipment — 9.4%
 
    123,400     Applied Materials, Inc.     10,178,032  
    6,400     Cirrus Logic, Inc. *     512,640  
    12,300     Entegris, Inc.     1,139,226  
    233,700     Intel Corp.     11,299,395  
    8,100     KLA Corp.     2,040,957  
    7,400     Lam Research Corp.     3,349,684  
    10,800     Maxim Integrated Products, Inc.     896,832  
    37,800     Micron Technology, Inc. *     2,422,602  
    3,100     Skyworks Solutions, Inc.     437,627  
    2,800     Synaptics, Inc. *     217,756  
    14,200     Teradyne, Inc.     1,566,828  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     34,061,579  
     

 

 

 
          Software & Services — 10.6%  
    3,700     Akamai Technologies, Inc. *     382,987  
    17,420     Amdocs Ltd.     1,146,410  
    10,600     Booz Allen Hamilton Holding Corp.     919,974  
    1,300     CACI International, Inc. – Class A *     308,477  
    44,205     Cadence Design Systems, Inc. *     5,141,042  
    9,127     Citrix Systems, Inc.     1,131,018  
    12,695     Intuit, Inc.     4,468,894  
    5,800     j2 Global, Inc. *     519,738  
    52,353     Microsoft Corp.     11,207,207  
    30,500     NortonLifeLock, Inc.     556,015  
    105,200     Oracle Corp.     6,072,144  
    7,448     Progress Software Corp.     298,665  
    7,810     Sykes Enterprises, Inc. *     293,890  
    23,919     Synopsys, Inc. *     5,441,572  
    25,400     Western Union Co. (The)     573,024  
     

 

 

 
    Total Software & Services     38,461,057  
     

 

 

 
          Technology Hardware & Equipment — 11.9%  
    130,520     Apple, Inc.     15,538,406  
    9,833     Arrow Electronics, Inc. *     901,194  
    9,000     Avnet, Inc.     273,150  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Technology Hardware & Equipment — continued  
    127,100     Cisco Systems, Inc.     5,467,842  
    15,100     Corning, Inc.     565,042  
    5,100     F5 Networks, Inc. *     830,331  
    48,200     Flex Ltd. *     782,286  
    151,614     Hewlett Packard Enterprise Co.     1,673,819  
    143,640     HP, Inc.     3,150,025  
    5,200     II-VI, Inc. *     351,780  
    5,120     Insight Enterprises, Inc. *     365,978  
    15,400     Jabil, Inc.     588,588  
    51,900     Juniper Networks, Inc.     1,129,863  
    8,407     Motorola Solutions, Inc.     1,442,053  
    10,300     National Instruments Corp.     385,529  
    19,200     NetApp, Inc.     1,023,552  
    13,400     Sanmina Corp. *     426,321  
    35,300     Seagate Technology Plc     2,075,993  
    5,400     Sensata Technologies Holding Plc *     263,682  
    5,000     SYNNEX Corp.     801,550  
    40,400     TE Connectivity Ltd.     4,604,388  
    27,500     Xerox Holdings Corp.     601,975  
     

 

 

 
    Total Technology Hardware & Equipment     43,243,347  
     

 

 

 
          Telecommunication Services — 0.3%  
    23,700     Telephone & Data Systems, Inc.     449,826  
    12,400     Verizon Communications, Inc.     749,084  
     

 

 

 
    Total Telecommunication Services     1,198,910  
     

 

 

 
          Transportation — 0.1%  
    6,400     Werner Enterprises, Inc.     255,936  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $303,224,958)
    360,777,089  
     

 

 

 
     Shares     Description   Value ($)  
          MUTUAL FUNDS — 0.6%  
          Affiliated Issuers — 0.6%  
    426,646     GMO U.S. Treasury Fund     2,150,296  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $2,150,296)
    2,150,296  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%      
    490,860     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (a)     490,860  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $490,860)
    490,860  
     

 

 

 
    TOTAL INVESTMENTS — 99.8%
(Cost $305,866,114)
    363,418,245  
    Other Assets and Liabilities (net) — 0.2%     571,670  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $363,989,915  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
6   S&P 500
E-Mini
  December 2020   $ 1,086,960     $ 106,861  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

As of November 30, 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 November 30, 2020.

 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 98.6%

 

          Automobiles & Components — 1.6%  
    44,600     Cooper Tire & Rubber Co.     1,771,958  
    45,200     Dana, Inc.     761,168  
    22,100     Garrett Motion, Inc. *     107,185  
    18,800     Modine Manufacturing Co. *     205,296  
    11,700     Patrick Industries, Inc.     737,568  
    17,000     Standard Motor Products, Inc.     786,930  
    79,100     Stoneridge, Inc. *     2,124,626  
     

 

 

 
    Total Automobiles & Components     6,494,731  
     

 

 

 
          Banks — 12.9%  
    12,800     1st Source Corp.     477,696  
    24,500     Amalgamated Bank – Class A     311,640  
    3,193     Arrow Financial Corp.     95,024  
    182,700     Associated Banc-Corp.     2,798,964  
    1,800     Bancorp, Inc. (The) *     21,240  
    4,600     Bar Harbor Bankshares     106,030  
    80,200     Boston Private Financial Holdings, Inc.     574,232  
    17,000     Bridge Bancorp, Inc.     379,440  
    46,900     Brookline Bancorp, Inc.     533,253  
    35,300     Cathay General Bancorp     997,225  
    2,900     Century Bancorp, Inc. – Class A     214,310  
    5,800     Civista Bancshares, Inc.     97,614  
    1,200     CNB Financial Corp.     23,616  
    7,695     Community Trust Bancorp, Inc.     260,476  
    81,800     Dime Community Bancshares, Inc.     1,182,010  
    1,200     Federal Agricultural Mortgage Corp. – Class C     81,240  
    16,400     Financial Institutions, Inc.     328,164  
    8,576     First Community Bankshares, Inc.     180,696  
    10,900     First Financial Corp.     412,783  
    18,200     First Foundation, Inc.     323,232  
    182,600     Flagstar Bancorp, Inc.     6,398,304  
    19,600     Flushing Financial Corp.     278,320  
    6,100     Great Southern Bancorp, Inc.     279,990  
    7,800     Heritage Financial Corp.     181,506  
    216,400     Hilltop Holdings, Inc.     5,213,076  
    13,900     Independent Bank Corp.     236,439  
    84,400     International Bancshares Corp.     2,735,404  
    432,700     Investors Bancorp, Inc.     4,188,536  
    22,000     Lakeland Financial Corp.     1,117,380  
    7,000     Mercantile Bank Corp.     173,810  
    5,400     Merchants Bancorp     143,856  
    25,000     Meridian Bancorp, Inc.     341,125  
    246,200     MGIC Investment Corp.     2,944,552  
    25,100     Northfield Bancorp, Inc.     279,363  
    4,500     Northrim BanCorp, Inc.     142,965  
    30,400     Northwest Bancshares, Inc.     359,632  
    129,400     OFG Bancorp     2,167,450  
    25,300     Old National Bancorp     400,499  
    92,300     PennyMac Financial Services, Inc.     5,320,172  
    53,444     Premier Financial Corp.     1,106,825  
    5,700     Sierra Bancorp     125,400  
     Shares     Description   Value ($)  
          Banks — continued  
    3,000     Territorial Bancorp, Inc.     66,930  
    34,400     Towne Bank/Portsmouth VA     748,200  
    24,700     TriCo Bancshares     809,172  
    79,000     TrustCo Bank Corp.     479,530  
    3,500     Trustmark Corp.     86,870  
    85,800     Walker & Dunlop, Inc.     6,864,858  
    47,903     Waterstone Financial, Inc.     841,416  
    2,700     Wintrust Financial Corp.     147,123  
     

 

 

 
    Total Banks     53,577,588  
     

 

 

 
          Capital Goods — 11.0%  
    8,900     Allied Motion Technologies, Inc.     361,073  
    5,800     Apogee Enterprises, Inc.     152,192  
    4,900     Applied Industrial Technologies, Inc.     384,307  
    2,800     Arcosa, Inc.     145,292  
    31,900     AZZ, Inc.     1,422,421  
    7,100     Comfort Systems USA, Inc.     357,769  
    47,100     Cornerstone Building Brands, Inc. *     411,654  
    23,700     Ducommun, Inc. *     1,178,364  
    4,200     EMCOR Group, Inc.     361,956  
    5,500     EnerSys     449,955  
    5,100     EnPro Industries, Inc.     361,131  
    89,400     Federal Signal Corp.     2,774,082  
    27,225     Gorman-Rupp Co. (The)     895,703  
    107,900     Griffon Corp.     2,249,715  
    5,400     Hurco Cos, Inc.     160,974  
    29,100     Hyster-Yale Materials Handling, Inc.     1,601,664  
    13,100     Insteel Industries, Inc.     303,003  
    1,900     Masonite International Corp. *     190,095  
    88,500     Meritor, Inc. *     2,336,400  
    9,400     Miller Industries, Inc.     313,866  
    80,900     Moog, Inc. – Class A     6,258,424  
    69,500     Mueller Industries, Inc.     2,276,820  
    7,700     National Presto Industries, Inc.     654,885  
    64,500     nVent Electric Plc     1,483,500  
    14,100     Park-Ohio Holdings Corp.     396,069  
    3,100     Preformed Line Products Co.     188,015  
    222,500     Resideo Technologies, Inc. *     4,114,025  
    22,000     Systemax, Inc.     676,940  
    9,600     Tennant Co.     644,736  
    86,600     Terex Corp.     2,684,600  
    6,500     Tutor Perini Corp. *     87,880  
    125,100     UFP Industries, Inc.     6,711,615  
    52,700     Vectrus, Inc. *     2,512,209  
    22,400     Veritiv Corp. *     416,192  
    4,900     WESCO International, Inc. *     319,578  
     

 

 

 
    Total Capital Goods     45,837,104  
     

 

 

 
          Commercial & Professional Services — 6.5%  
    320,929     ACCO Brands Corp.     2,458,316  
    125,900     Brady Corp. – Class A     5,562,262  
    53,500     CBIZ, Inc. *     1,295,770  
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Commercial & Professional Services — continued  
    15,500     CRA International, Inc.     710,675  
    56,100     Deluxe Corp.     1,444,014  
    8,400     Ennis, Inc.     137,508  
    17,600     Heidrick & Struggles International, Inc.     459,360  
    187,100     Herman Miller, Inc.     6,668,244  
    41,900     HNI Corp.     1,527,674  
    58,400     Interface, Inc.     487,348  
    54,900     Kelly Services, Inc. – Class A     1,123,254  
    19,000     Kforce, Inc.     779,950  
    96,600     Kimball International, Inc. – Class B     1,055,838  
    60,600     Resources Connection, Inc.     733,866  
    198,600     Steelcase, Inc. – Class A     2,412,990  
    10,300     TrueBlue, Inc. *     196,730  
     

 

 

 
    Total Commercial & Professional Services     27,053,799  
     

 

 

 
          Consumer Durables & Apparel — 5.7%  
    17,000     Acushnet Holdings Corp.     640,900  
    6,026     Clarus Corp.     86,774  
    136,600     Ethan Allen Interiors, Inc.     2,495,682  
    103,200     G-III Apparel Group Ltd. *     2,102,184  
    16,700     Hooker Furniture Corp.     505,509  
    19,900     Johnson Outdoors, Inc. – Class A     1,663,640  
    76,500     La-Z-Boy, Inc.     2,833,560  
    7,500     Levi Strauss & Co. – Class A     137,925  
    50,000     MDC Holdings, Inc.     2,413,500  
    57,800     Movado Group, Inc.     978,554  
    172,400     Nautilus, Inc. *     3,637,640  
    6,500     Polaris, Inc.     624,000  
    18,000     Rocky Brands, Inc.     522,000  
    132,000     TRI Pointe Group, Inc. *     2,307,360  
    15,800     Universal Electronics, Inc. *     832,028  
    119,800     Vera Bradley, Inc. *     1,015,904  
    48,100     Vista Outdoor, Inc. *     992,303  
     

 

 

 
    Total Consumer Durables & Apparel     23,789,463  
     

 

 

 
          Consumer Services — 2.5%  
    84,700     Adtalem Global Education, Inc. *     2,424,961  
    7,700     American Public Education, Inc. *     239,008  
    67,100     Brinker International, Inc.     3,362,381  
    21,300     Carriage Services, Inc.     579,573  
    2,300     Graham Holdings Co. – Class B     1,028,146  
    69,200     H&R Block, Inc.     1,300,960  
    120,500     Perdoceo Education Corp. *     1,366,470  
     

 

 

 
    Total Consumer Services     10,301,499  
     

 

 

 
          Diversified Financials — 5.2%  
    104,100     Brightsphere Investment Group, Inc.     1,842,570  
    46,100     Curo Group Holdings Corp.     398,304  
    1,500     Diamond Hill Investment Group, Inc.     205,230  
    124,800     Donnelley Financial Solutions, Inc. *     2,032,992  
    29,100     Encore Capital Group, Inc. *     993,474  
    189,317     Enova International, Inc. *     3,958,618  
     Shares     Description   Value ($)  
          Diversified Financials — continued  
    94,700     Federated Hermes, Inc.     2,541,748  
    33,900     Oppenheimer Holdings, Inc. – Class A     999,711  
    280,500     SLM Corp.     2,976,105  
    34,300     StoneX Group, Inc. *     2,113,566  
    202,500     Waddell & Reed Financial, Inc. – Class A     3,333,150  
    18,400     Westwood Holdings Group, Inc.     219,328  
     

 

 

 
    Total Diversified Financials     21,614,796  
     

 

 

 
          Energy — 3.2%  
    58,700     Evolution Petroleum Corp.     178,448  
    25,500     Geospace Technologies Corp. *     158,355  
    12,780     Matrix Service Co. *     122,432  
    76,100     Penn Virginia Corp. *     686,422  
    258,500     QEP Resources, Inc.     416,185  
    19,300     Renewable Energy Group, Inc. *     1,120,944  
    4,200     REX American Resources Corp. *     329,700  
    1,181,000     Southwestern Energy Co. *     3,672,910  
    226,800     World Fuel Services Corp.     6,445,656  
     

 

 

 
    Total Energy     13,131,052  
     

 

 

 
          Food & Staples Retailing — 0.8%  
    16,900     Ingles Markets, Inc. – Class A     635,271  
    91,800     SpartanNash Co.     1,733,184  
    8,800     Village Super Market, Inc. – Class A     203,808  
    15,200     Weis Markets, Inc.     723,976  
     

 

 

 
    Total Food & Staples Retailing     3,296,239  
     

 

 

 
          Food, Beverage & Tobacco — 1.1%  
    6,016     Seneca Foods Corp. – Class A *     251,950  
    92,100     Universal Corp.     4,191,471  
     

 

 

 
    Total Food, Beverage & Tobacco     4,443,421  
     

 

 

 
          Health Care Equipment & Services — 4.5%  
    40,900     AngioDynamics, Inc. *     581,598  
    48,100     Computer Programs & Systems, Inc.     1,367,483  
    10,900     Covetrus, Inc. *     294,464  
    15,300     FONAR Corp. *     293,913  
    25,500     Integer Holdings Corp. *     1,838,295  
    7,300     Lantheus Holdings, Inc. *     96,068  
    12,990     LENSAR, Inc. *     111,324  
    17,000     Mednax, Inc. *     343,570  
    120,900     Meridian Bioscience, Inc. *     2,285,010  
    8,600     Natus Medical, Inc. *     179,912  
    45,900     NextGen Healthcare, Inc. *     814,266  
    220,000     Owens & Minor, Inc.     5,667,200  
    17,000     Patterson Cos., Inc.     471,920  
    12,000     Providence Service Corp. (The) *     1,629,480  
    9,500     SeaSpine Holdings Corp. *     135,090  
    79,800     Select Medical Holdings Corp. *     1,923,180  
    71,500     Surgalign Holdings, Inc. *     161,590  
    11,200     Surmodics, Inc. *     419,328  
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Health Care Equipment & Services — continued  
    2,100     Triple-S Management Corp. – Class B *     47,061  
     

 

 

 
    Total Health Care Equipment & Services     18,660,752  
     

 

 

 
          Household & Personal Products — 0.7%  
    4,900     Central Garden & Pet Co. *     196,196  
    8,000     Central Garden & Pet Co. – Class A *     295,120  
    16,300     Inter Parfums, Inc.     885,253  
    16,200     Lifevantage Corp. *     172,206  
    2,900     Nu Skin Enterprises, Inc. – Class A     149,379  
    14,600     USANA Health Sciences, Inc. *     1,097,628  
     

 

 

 
    Total Household & Personal Products     2,795,782  
     

 

 

 
          Insurance — 0.6%  
    17,200     Employers Holdings, Inc.     524,772  
    41,500     National General Holdings Corp.     1,414,320  
    7,800     Stewart Information Services Corp.     326,586  
    11,500     Universal Insurance Holdings, Inc.     160,540  
     

 

 

 
    Total Insurance     2,426,218  
     

 

 

 
          Materials — 7.9%  
    5,400     AdvanSix, Inc. *     95,958  
    21,000     American Vanguard Corp.     318,360  
    68,700     Avient Corp.     2,510,985  
    11,200     Cabot Corp.     463,792  
    10,000     Commercial Metals Co.     199,100  
    11,200     Domtar Corp.     337,120  
    30,500     FutureFuel Corp.     365,695  
    73,900     Greif, Inc. – Class A     3,592,279  
    4,500     Hawkins, Inc.     225,810  
    19,400     HB Fuller Co.     1,015,202  
    36,500     Innospec, Inc.     3,003,585  
    20,200     Koppers Holdings, Inc. *     546,814  
    5,900     Kronos Worldwide, Inc.     81,125  
    66,000     Materion Corp.     3,847,800  
    23,300     Neenah, Inc.     1,130,283  
    106,600     Schweitzer-Mauduit International, Inc.     3,707,548  
    73,900     Silgan Holdings, Inc.     2,497,820  
    18,029     Stepan Co.     2,094,249  
    65,900     Tredegar Corp.     1,041,879  
    184,100     Valvoline, Inc.     4,195,639  
    45,100     Verso Corp. – Class A     487,531  
    18,100     Worthington Industries, Inc.     936,132  
     

 

 

 
    Total Materials     32,694,706  
     

 

 

 
          Media & Entertainment — 3.5%  
    45,400     AMC Networks, Inc. – Class A *     1,496,838  
    122,800     Cars.com, Inc. *     1,371,676  
    86,100     DHI Group, Inc. *     165,312  
    378,200     Liberty TripAdvisor Holdings, Inc. – Class A *     1,040,050  
    79,400     Marchex, Inc. – Class B *     171,504  
    41,100     Scholastic Corp.     974,892  
     Shares     Description   Value ($)  
          Media & Entertainment — continued  
    124,802     Sciplay Corp. – Class A *     1,858,302  
    458,900     TEGNA, Inc.     6,612,749  
    66,000     Tribune Publishing Co.     797,280  
    65,200     TrueCar, Inc. *     266,016  
     

 

 

 
    Total Media & Entertainment     14,754,619  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life Sciences — 2.6%  
    41,900     Amneal Pharmaceuticals, Inc. *     165,505  
    58,500     CytomX Therapeutics, Inc. *     439,920  
    579,000     Endo International Plc *     2,941,320  
    93,800     Kezar Life Sciences, Inc. *     617,204  
    41,900     Luminex Corp.     994,287  
    141,300     Prestige Consumer Healthcare, Inc. *     5,026,041  
    43,300     Surface Oncology, Inc. *     391,432  
    3,300     United Therapeutics Corp. *     437,712  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     11,013,421  
     

 

 

 
          Real Estate — 5.7%  
    454,100     CoreCivic, Inc. (REIT)     3,219,569  
    170,100     CorePoint Lodging, Inc. (REIT)     1,107,351  
    18,000     Cushman & Wakefield Plc *     268,200  
    404,700     GEO Group, Inc. (REIT)     3,824,415  
    483,200     Newmark Group, Inc. – Class A     3,392,064  
    321,800     Realogy Holdings Corp. *     3,961,358  
    213,500     Summit Hotel Properties, Inc. (REIT)     1,855,315  
    233,900     Sunstone Hotel Investors, Inc. (REIT)     2,455,950  
    44,300     Urban Edge Properties (REIT)     575,014  
    224,100     Xenia Hotels & Resorts, Inc. (REIT)     3,157,569  
     

 

 

 
    Total Real Estate     23,816,805  
     

 

 

 
          Retailing — 10.6%  
    98,700     AutoNation, Inc. *     6,049,323  
    160,000     Big Lots, Inc.     8,267,200  
    23,500     Cato Corp. (The) – Class A     189,410  
    76,600     Core-Mark Holding Co., Inc.     2,389,154  
    29,800     Designer Brands, Inc. – Class A     235,420  
    37,400     Dick’s Sporting Goods, Inc.     2,124,694  
    8,000     Duluth Holdings Inc. – Class B *     117,600  
    48,300     Genesco, Inc. *     1,515,171  
    84,800     Group 1 Automotive, Inc.     10,075,088  
    79,113     Haverty Furniture Cos, Inc.     2,153,456  
    96,900     Michaels Cos., Inc. (The) *     958,341  
    9,800     Penske Automotive Group, Inc.     539,686  
    131,700     Qurate Retail, Inc. – Series A     1,378,899  
    16,800     Sally Beauty Holdings, Inc. *     193,200  
    60,300     Shoe Carnival, Inc.     2,205,171  
    7,300     Sleep Number Corp. *     506,547  
    74,900     Sonic Automotive, Inc. – Class A     3,024,462  
    2,600     Weyco Group, Inc.     46,592  
    62,200     Zumiez, Inc. *     2,306,998  
     

 

 

 
    Total Retailing     44,276,412  
     

 

 

 
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          Semiconductors & Semiconductor Equipment — 0.7%  
    35,600     Alpha & Omega Semiconductor Ltd. *     884,304  
    22,200     Amkor Technology, Inc. *     327,228  
    89,000     DSP Group, Inc. *     1,497,870  
    33,600     Photronics, Inc. *     389,424  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     3,098,826  
     

 

 

 
          Software & Services — 1.9%  
    11,400     Alliance Data Systems Corp.     833,796  
    10,500     Cerence, Inc. *     952,875  
    33,100     CSG Systems International, Inc.     1,435,878  
    21,700     Endurance International Group Holdings, Inc. *     205,716  
    49,800     Progress Software Corp.     1,996,980  
    69,000     Sykes Enterprises, Inc. *     2,596,470  
     

 

 

 
    Total Software & Services     8,021,715  
     

 

 

 
          Technology Hardware & Equipment — 7.1%  
    104,446     ADTRAN, Inc.     1,319,675  
    196,700     Arlo Technologies, Inc. *     1,034,642  
    58,200     Avnet, Inc.     1,766,370  
    115,400     Benchmark Electronics, Inc.     2,806,528  
    41,500     Calix, Inc. *     982,720  
    94,900     Comtech Telecommunications Corp.     1,808,794  
    43,300     CTS Corp.     1,318,918  
    2,100     ePlus, Inc. *     177,051  
    84,500     Insight Enterprises, Inc. *     6,040,060  
    30,900     Kimball Electronics, Inc. *     476,169  
    36,900     Methode Electronics, Inc.     1,292,238  
    235,700     Sanmina Corp. *     7,498,795  
    6,400     ScanSource, Inc. *     160,640  
    8,500     Super Micro Computer, Inc. *     239,785  
    4,526     Vishay Precision Group, Inc. *     132,386  
    119,800     Xerox Holdings Corp.     2,622,422  
     

 

 

 
    Total Technology Hardware & Equipment     29,677,193  
     

 

 

 
          Telecommunication Services — 1.7%  
    1,200     ATN International, Inc.     58,728  
    83,600     Consolidated Communications Holdings, Inc. *     468,160  
    52,000     IDT Corp. – Class B *     619,840  
    11,400     Ooma, Inc. *     177,954  
    106,378     Spok Holdings, Inc.     1,045,696  
    186,600     Telephone & Data Systems, Inc.     3,541,668  
    33,600     United States Cellular Corp. *     1,053,360  
     

 

 

 
    Total Telecommunication Services     6,965,406  
     

 

 

 
          Transportation — 0.6%  
    31,700     ArcBest Corp.     1,328,547  
    21,500     Atlas Air Worldwide Holdings, Inc. *     1,199,915  
     

 

 

 
    Total Transportation     2,528,462  
     

 

 

 
     Shares     Description   Value ($)  
          Utilities — 0.0%  
    9,500     Genie Energy Ltd. – Class B     78,850  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $392,644,665)
    410,348,859  
     

 

 

 
          MUTUAL FUNDS — 0.9%  
          Affiliated Issuers — 0.9%  
    736,130     GMO U.S. Treasury Fund     3,710,097  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $3,710,097)
    3,710,097  
     

 

 

 
          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  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    107,069     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (b)     107,069  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $107,069)
    107,069  
     

 

 

 
    TOTAL INVESTMENTS — 99.5%
(Cost $396,495,273)
    414,202,375  
    Other Assets and Liabilities (net) — 0.5%     1,897,780  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $416,100,155  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
36   E-mini Russell 2000 Index     December 2020     $ 3,276,180     $ 80,753  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

As of November 30, 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 November 30, 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, Japan Value Creation Fund (commenced operations on September 14, 2020), 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).

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 November 30, 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 November 30, 2020:

 

         
Description   Level 1     Level 2     Level 3     Total  
Climate Change Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Argentina

  $ 2,266,299     $     $     $ 2,266,299  

Australia

          4,233,262             4,233,262  

Brazil

          3,730,693             3,730,693  

Canada

    15,744,264                   15,744,264  

China

    984,841       14,884,735             15,869,576  

Denmark

          2,806,813             2,806,813  

Finland

          8,683,519             8,683,519  

France

          18,101,541             18,101,541  

Germany

          8,164,369             8,164,369  

India

          913,483             913,483  

Israel

          669,961             669,961  

Italy

          8,358,727             8,358,727  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Climate Change Fund (continued)                        
Asset Valuation Inputs (continued)                        

Common Stocks (continued)

         

Japan

  $     $ 14,811,085     $     $ 14,811,085  

Mexico

    6,823,789                   6,823,789  

Netherlands

          2,094,587             2,094,587  

Norway

          3,817,175             3,817,175  

Pakistan

          704,754             704,754  

Portugal

          3,482,908             3,482,908  

Russia

          12,096,069             12,096,069  

Spain

          6,083,202             6,083,202  

Sweden

          789,657             789,657  

Switzerland

          3,426,624             3,426,624  

Taiwan

          646,454             646,454  

Thailand

          524,822             524,822  

Ukraine

          1,782,972             1,782,972  

United Kingdom

    1,630,086       4,267,523             5,897,609  

United States

    86,694,438                   86,694,438  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    114,143,717       125,074,935             239,218,652  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Chile

    5,084,078                   5,084,078  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    5,084,078                   5,084,078  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    12,189,207                   12,189,207  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    12,189,207                   12,189,207  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    393,103                   393,103  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    131,810,105       125,074,935             256,885,040  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 131,810,105     $ 125,074,935     $     $ 256,885,040  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Cyclical Focus Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Canada

  $ 6,553,485     $     $     $ 6,553,485  

Finland

          4,682,230             4,682,230  

France

          11,617,005             11,617,005  

Ireland

          3,813,389             3,813,389  

Mexico

    8,001,188                   8,001,188  

Russia

          5,658,308             5,658,308  

Spain

          7,084,555             7,084,555  

United Kingdom

          16,281,837             16,281,837  

United States

    64,072,232                   64,072,232  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    78,626,905       49,137,324             127,764,229  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          4,259,842             4,259,842  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          4,259,842             4,259,842  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    2,878,000                   2,878,000  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    2,878,000                   2,878,000  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    251,996                   251,996  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    81,756,901       53,397,166             135,154,067  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 81,756,901     $ 53,397,166     $     $ 135,154,067  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Emerging Domestic Opportunities Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Brazil

  $     $ 25,179,629     $     $ 25,179,629  

China

    99,665,988       201,739,912             301,405,900  

France

          2,192,380             2,192,380  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Emerging Domestic Opportunities Fund (continued)                        
Asset Valuation Inputs (continued)                        

Common Stocks (continued)

         

Greece

  $     $ 2,265,103     $     $ 2,265,103  

Hong Kong

          8,739,998             8,739,998  

Hungary

          1,607,887             1,607,887  

India

    5,090,602       84,356,529             89,447,131  

Indonesia

          5,815,259             5,815,259  

Japan

          2,151,652             2,151,652  

Mexico

    5,729,061                   5,729,061  

Philippines

          12,145,523             12,145,523  

Poland

          1,789,467             1,789,467  

Russia

    9,068,240       14,192,770             23,261,010  

South Africa

          4,710,253             4,710,253  

South Korea

          99,109,828             99,109,828  

Taiwan

          138,492,167             138,492,167  

Thailand

          6,928,682             6,928,682  

United States

    12,497,999                   12,497,999  

Vietnam

          11,896,904             11,896,904  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    132,051,890       623,313,943             755,365,833  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          18,324,982             18,324,982  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          18,324,982             18,324,982  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

China

    52,415,970                   52,415,970  

Mexico

    11,266,289                   11,266,289  

Russia

    19,794,960                   19,794,960  

South Korea

          4,181,007             4,181,007  

United States

    85,539,652                   85,539,652  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    169,016,871       4,181,007             173,197,878  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    16,175,866                   16,175,866  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    16,175,866                   16,175,866  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    10,147,479                   10,147,479  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    327,392,106       645,819,932             973,212,038  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          1,925,048             1,925,048  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 327,392,106     $ 647,744,980     $     $ 975,137,086  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (2,209,109   $     $ (2,209,109
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Emerging Markets Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Argentina

  $ 12,970,966     $     $     $ 12,970,966  

Brazil

          17,797,399             17,797,399  

Chile

          2,403,322             2,403,322  

China

    293,878,057       803,419,307       687,515       1,097,984,879  

Czech Republic

          1,885,887             1,885,887  

Egypt

          169,402             169,402  

Greece

          1,229,520             1,229,520  

Hungary

          363,719             363,719  

India

    7,250,808       91,898,744             99,149,552  

Indonesia

          84,403,097             84,403,097  

Kuwait

          37,645,903             37,645,903  

Malaysia

          1,376,918             1,376,918  

Mexico

    73,323,644                   73,323,644  
                                 


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

Common Stocks (continued)

         

Pakistan

  $     $ 12,849,745     $     $ 12,849,745  

Philippines

          9,634,673             9,634,673  

Poland

          30,045,446             30,045,446  

Qatar

          16,682,426             16,682,426  

Russia

    14,672,653       401,338,101             416,010,754  

Saudi Arabia

          1,071,351             1,071,351  

South Africa

    5,477,719       82,682,210             88,159,929  

South Korea

          38,291,213             38,291,213  

Sri Lanka

                662,576       662,576  

Taiwan

    970       612,284,767             612,285,737  

Thailand

          14,203,404             14,203,404  

Turkey

          41,416,448             41,416,448  

United Arab Emirates

          4,105,117             4,105,117  

United Kingdom

          23,484,219             23,484,219  

Vietnam

          4,058,493             4,058,493  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    407,574,817       2,334,740,831       1,350,091       2,743,665,739  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          3,959,833             3,959,833  

Chile

    145,917                   145,917  

Colombia

    1,975,705                   1,975,705  

Russia

          56,678,931             56,678,931  

South Korea

          33,801,321             33,801,321  

Taiwan

          2,367,807             2,367,807  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    2,121,622       96,807,892             98,929,514  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    91,276,967                   91,276,967  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    91,276,967                   91,276,967  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    52,523,101                   52,523,101  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    52,523,101                   52,523,101  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Pakistan

                42,633       42,633  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                42,633       42,633  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    13,419,371                   13,419,371  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    566,915,878       2,431,548,723       1,392,724       2,999,857,325  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    15,265,948       38,666             15,304,614  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 582,181,826     $ 2,431,587,389     $ 1,392,724     $ 3,015,161,939  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Swap Contracts

         

Equity Risk

  $     $ (129,868   $     $ (129,868
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

International Equity Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Australia

  $     $ 121,810,185     $     $ 121,810,185  

Belgium

          35,338,714             35,338,714  

Denmark

          1,190,282             1,190,282  

France

    34,567,742       167,267,287             201,835,029  

Germany

          117,806,445             117,806,445  

Hong Kong

          59,374,096             59,374,096  

Ireland

    11,319,700       8,328,084             19,647,784  

Italy

          88,479,133             88,479,133  

Japan

          497,393,290             497,393,290  

Malta

                0 §      0 § 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
International Equity Fund (continued)                        
Asset Valuation Inputs (continued)                        

Common Stocks (continued)

         

Netherlands

  $     $ 184,903,386     $     $ 184,903,386  

Norway

          68,800,781             68,800,781  

Portugal

          80,280,338             80,280,338  

Singapore

          104,150,924             104,150,924  

Spain

          157,368,632             157,368,632  

Sweden

          80,572,791             80,572,791  

Switzerland

          147,962,143             147,962,143  

United Kingdom

    19,966,804       388,235,559             408,202,363  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    65,854,246       2,309,262,070       0 §      2,375,116,316  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          22,103,400             22,103,400  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          22,103,400             22,103,400  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

United Kingdom

    1,607,679                   1,607,679  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    1,607,679                   1,607,679  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    39,406,870                   39,406,870  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    106,868,795       2,331,365,470       0 §      2,438,234,265  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    12,466                   12,466  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 106,881,261     $ 2,331,365,470     $ 0 §    $ 2,438,246,731  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Japan Value Creation Fund

         

Asset Valuation Inputs

         

Common Stocks

  $     $ 152,880,682     $     $ 152,880,682  

Short-Term Investments

    3,729,257                   3,729,257  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    3,729,257       152,880,682             156,609,939  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 3,729,257     $ 152,880,682     $     $ 156,609,939  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Quality Fund

         

Asset Valuation Inputs

         

Common Stocks

         

France

  $     $ 71,272,734     $     $ 71,272,734  

Germany

          236,311,225             236,311,225  

Netherlands

          36,644,809             36,644,809  

Switzerland

          236,730,173             236,730,173  

Taiwan

          233,263,576             233,263,576  

United Kingdom

          336,837,166             336,837,166  

United States

    5,834,174,854                   5,834,174,854  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    5,834,174,854       1,151,059,683             6,985,234,537  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    9,830,961                   9,830,961  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    9,830,961                   9,830,961  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    90,649,770                   90,649,770  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    5,934,655,585       1,151,059,683             7,085,715,268  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 5,934,655,585     $ 1,151,059,683     $     $ 7,085,715,268  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Resources Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Argentina

  $ 7,390,996     $     $     $ 7,390,996  

Australia

          36,523,939             36,523,939  

Austria

          9,777,070             9,777,070  

Brazil

          7,470,071             7,470,071  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Resources Fund (continued)                        
Asset Valuation Inputs (continued)                        

Common Stocks (continued)

         

Canada

  $ 33,719,111     $     $     $ 33,719,111  

China

          33,010,814             33,010,814  

Colombia

    6,093,312                   6,093,312  

Denmark

          4,472,890             4,472,890  

Finland

          13,453,860             13,453,860  

France

          18,579,042             18,579,042  

Germany

          4,980,580             4,980,580  

Hungary

          7,152,104             7,152,104  

India

          16,970,101             16,970,101  

Israel

          10,782,132             10,782,132  

Japan

          13,490,228             13,490,228  

Mexico

    18,059,247                   18,059,247  

Norway

          18,287,379             18,287,379  

Pakistan

          5,144,827             5,144,827  

Poland

          5,534,487             5,534,487  

Russia

          92,563,071             92,563,071  

Singapore

                0 §      0 § 

South Africa

          2,164,867             2,164,867  

South Korea

          1,072,289             1,072,289  

Spain

          8,433,984             8,433,984  

Switzerland

          4,391,779             4,391,779  

Thailand

          4,841,672             4,841,672  

Turkey

          2,656,584             2,656,584  

Ukraine

          4,204,279             4,204,279  

United Kingdom

          89,942,225             89,942,225  

United States

    153,056,491                   153,056,491  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    218,319,157       415,900,274       0 §      634,219,431  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          38,202,391             38,202,391  

Chile

    12,662,395                   12,662,395  

Russia

          15,072,562             15,072,562  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    12,662,395       53,274,953             65,937,348  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    4,311,592                   4,311,592  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    4,311,592                   4,311,592  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Singapore

                0 §      0 § 
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                0 §      0 § 
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    8,069,823                   8,069,823  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    243,362,967       469,175,227             712,538,194  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 243,362,967     $ 469,175,227     $ 0 §    $ 712,538,194  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Risk Premium Fund

         

Asset Valuation Inputs

         

Debt Obligations

         

United States

  $ 5,000,641     $     $     $ 5,000,641  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    5,000,641                   5,000,641  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    7,120,135                   7,120,135  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    12,120,776                   12,120,776  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 12,120,776     $     $     $ 12,120,776  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Written Options

         

Equity Risk

  $ (124,780   $     $     $ (124,780
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  

Tax-Managed International Equities Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Australia

  $     $ 1,729,356     $     $ 1,729,356  

Belgium

          499,036             499,036  

Brazil

          198,163             198,163  

China

          740,207             740,207  

Denmark

          41,856             41,856  

France

          2,949,581             2,949,581  

Germany

          1,674,829             1,674,829  

Hong Kong

          513,956             513,956  

Hungary

          64,613             64,613  

India

          159,287             159,287  

Ireland

    167,205       606,413             773,618  

Italy

          936,758             936,758  

Japan

          7,625,709             7,625,709  

Malaysia

          11,383             11,383  

Malta

                0 §      0 § 

Netherlands

          2,812,282             2,812,282  

Norway

          246,443             246,443  

Poland

          32,045             32,045  

Portugal

          1,177,914             1,177,914  

Russia

          444,433             444,433  

Singapore

          1,487,459             1,487,459  

South Africa

          41,178             41,178  

South Korea

          872,980             872,980  

Spain

          2,037,743             2,037,743  

Sweden

          659,962             659,962  

Switzerland

          2,154,078             2,154,078  

Taiwan

          309,032             309,032  

Thailand

          12,188             12,188  

Turkey

          666,984             666,984  

United Kingdom

    420,337       4,341,429             4,761,766  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    587,542       35,047,297       0 §      35,634,839  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          25,486             25,486  

Germany

          449,899             449,899  

Russia

          22,393             22,393  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          497,778             497,778  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    265,165                   265,165  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    265,165                   265,165  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    442,504                   442,504  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 1,295,211     $ 35,545,075     $ 0 §    $ 36,840,286  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

         

Derivatives^

         

Futures Contracts

         

Equity Risk

  $ (240   $     $     $ (240
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

U.S. Equity Fund

         

Asset Valuation Inputs

         

Common Stocks

  $ 360,777,089     $     $     $ 360,777,089  

Mutual Funds

    2,150,296                   2,150,296  

Short-Term Investments

    490,860                   490,860  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    363,418,245                   363,418,245  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    106,861                   106,861  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 363,525,106     $     $     $ 363,525,106  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  

U.S. Small Cap Value Fund

         

Asset Valuation Inputs

         

Common Stocks

  $ 410,348,859     $     $     $ 410,348,859  

Mutual Funds

    3,710,097                   3,710,097  

Rights/Warrants

                36,350       36,350  

Short-Term Investments

    107,069                   107,069  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    414,166,025             36,350       414,202,375  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    80,753                   80,753  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 414,246,778     $     $ 36,350     $ 414,283,128  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

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 November 30, 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). Emerging Markets Fund’s Level 3 holdings includes a common stock whose trading has been suspended and is valued at the last available price. At November 30, 2020, there were no other Funds with material Level 3 classes of investments or derivatives with significant unobservable inputs subject to this additional disclosure.

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
November 30,
2020
    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as of
November 30,
2020
 
Emerging Markets Fund                                                            
Common Stocks                      

China

  $ 683,638     $         —     $         —     $         —     $         —     $ 3,877     $     $         —     $ 687,515     $ 3,877  

Sri Lanka

                                        662,576 ‡            662,576        
Rights/Warrants                      

Pakistan

          0                         42,633                   42,633       42,633  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 683,638     $ 0     $     $     $     $ 46,510     $ 662,576     $     $ 1,392,724     $ 46,510  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 

 

 

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 November 30, 2020.


Quantitative information about Level 3 Fair Value Measurements

 

         
Investment Type   Total Fair
Value ($)
    Valuation
Methodology
    Unobservable Inputs     Range
(Weighted
Average)
 

Emerging Markets Fund

                               

Common Stock

    1,350,091       Stale Price       Unadjusted Last Exchange Price       N/A  

Rights/Warrants

    42,633       Intrinsic Value       Exchange Traded Price       N/A  

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. A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended November 30, 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     $ 98,282,744     $ 94,649,074     $ 6,705 **    $ 25,397     $ (14,866   $ 12,189,207  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Cyclical Focus Fund

 

GMO U.S. Treasury Fund

  $     $ 3,528,000     $ 650,000     $ 638     $     $     $ 2,878,000  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Emerging Domestic Opportunities Fund

 

CMI Ltd

  $ 325,809     $     $ 326,513     $     $ (3,310,713)     $ 3,311,417     $

Gayatri Projects Ltd

    3,380,455             1,436,828             (1,485,323     1,235,407      

GMO U.S. Treasury Fund

    18,615,329       199,542,300       202,050,001       36,594       85,327       (17,089     16,175,866  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 22,321,593     $ 199,542,300     $ 203,813,342     $ 36,594     $ (4,710,709   $ 4,529,735     $ 16,175,866  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Emerging Markets Fund

 

Anilana Hotels & Properties Ltd

  $ 485,306     $     $     $     $     $ 177,270     $ 662,576  

Gayatri Highways Ltd

    49,629             53,333             (1,353,564 )     1,357,268      

Gayatri Projects Ltd

    5,130,069             1,223,719             (2,099,960 )     3,210,746       5,017,136  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 5,665,004     $     $ 1,277,052     $     $ (3,453,524 )   $ 4,745,284     $ 5,679,712  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Quality Fund

 

GMO U.S. Treasury Fund

  $ 15,768,140     $     $ 6,000,000     $ 29,436     $ 47,619     $ 15,202     $ 9,830,961  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Resources Fund

 

GMO U.S. Treasury Fund

  $ 1,832,863     $ 12,190,500     $ 14,026,825     $     $ 10,764     $ (7,302   $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

Tax-Managed International Equities Fund

 

GMO U.S. Treasury Fund

  $ 368,696     $ 1,055,000     $ 1,160,000     $ 757     $ 1,310     $ 159     $ 265,165  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

U.S. Equity Fund

 

GMO U.S. Treasury Fund

  $ 1,469,983     $ 43,200,000     $ 42,530,000     $ 6,635     $ 13,242     $ (2,929   $ 2,150,296  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

U.S. Small Cap Value Fund

 

GMO U.S. Treasury Fund

  $ 6,280,467     $ 40,500,000     $ 43,083,000     $ 4,842     $ 28,629     $ (15,999   $ 3,710,097  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                         

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2020 through November 30, 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 $12,230 in Climate Change Fund during the period.

 

  #

Security is no longer an affiliate at period end.


Subsequent events

As of close of business on January 22, 2021, pursuant to approval by shareholders of Climate Change Series Fund, Emerging Domestic Opportunities Series Fund, Emerging Markets Series Fund, Quality Series Fund and Resources Series Fund (each, a “Selling Fund”), each Selling Fund was reorganized with and into the corresponding series of GMO Trust (each, an “Acquiring Fund”). As part of the reorganization, each Selling Fund shareholder received shares of the corresponding Acquiring Fund in exchange for Selling Fund shares. Following the reorganization, the Selling Funds were terminated.

In January 2021, the Board of Trustees approved the termination of GMO Risk Premium Fund. The Fund is expected to liquidate on or about February 16, 2021.

* * *

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)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    COMMON STOCKS — 43.6%  
          Australia — 1.2%      
    8,694     BlueScope Steel Ltd     108,783  
    355,669     Coca-Cola Amatil Ltd     3,293,595  
    2,078     Computershare Ltd     21,773  
    13,196     Dexus (REIT)     94,545  
    1,800     Fortescue Metals Group Ltd     23,981  
    40,985     GPT Group (The) (REIT)     141,654  
    32,933     Mirvac Group (REIT)     62,223  
    765     Rio Tinto Ltd     57,076  
    71,868     Scentre Group (REIT)     147,012  
    14,245     Stockland (REIT)     47,310  
     

 

 

 
    Total Australia     3,997,952  
     

 

 

 
          Belgium — 0.1%  
    2,973     Ageas SA/NV     145,560  
    140     UCB SA     14,982  
     

 

 

 
    Total Belgium     160,542  
     

 

 

 
          Canada — 0.2%  
    1,400     Canadian Apartment Properties (REIT)     55,150  
    100     Canadian Tire Corp Ltd – Class A     12,780  
    3,900     Imperial Oil Ltd     67,507  
    1,200     Linamar Corp     55,274  
    2,400     Magna International Inc     147,175  
    4,400     Manulife Financial Corp     74,976  
    6,600     Power Corp of Canada     148,598  
    2,900     RioCan Real Estate Investment Trust     39,167  
    8,900     TELUS Corp     171,668  
     

 

 

 
    Total Canada     772,295  
     

 

 

 
          China — 0.5%  
    30,000     Agile Group Holdings Ltd     43,315  
    71,500     BAIC Motor Corp Ltd – Class H     26,761  
    188,000     Bank of Communications Co Ltd – Class H     103,890  
    4,500     Beijing Enterprises Holdings Ltd     14,582  
    63,000     China Communications Construction Co Ltd – Class H     32,655  
    80,000     China Communications Services Corp Ltd – Class H     42,634  
    1,241,000     China Huarong Asset Management Co Ltd – Class H     142,267  
    6,000     China Overseas Land & Investment Ltd     14,609  
    21,000     China Railway Construction Corp Ltd – Class H     13,877  
    340,000     China Railway Group Ltd – Class H     167,831  
    159,600     China Zhongwang Holdings Ltd *     34,761  
    50,000     Chongqing Rural Commercial Bank Co Ltd – Class H     21,439  
    136,000     Dongfeng Motor Group Co Ltd – Class H     139,922  
    18,000     Fosun International Ltd     25,974  
    125,200     Guangzhou R&F Properties Co Ltd – Class H     163,375  
    9,000     Kingboard Holdings Ltd     34,386  
         
Shares
    Description   Value ($)  
          China — continued  
    86,400     Legend Holdings Corp – Class H     117,643  
    8,600     Momo Inc Sponsored ADR     123,668  
    16,000     Seazen Group Ltd *     14,160  
    15,900     Shanghai Pharmaceuticals Holding Co Ltd – Class H     26,887  
    33,000     Shimao Group Holdings Ltd     122,997  
    31,600     Sinopharm Group Co Ltd – Class H     78,218  
    122,000     Skyworth Group Ltd *     33,299  
    195,000     Yuzhou Group Holdings Co Ltd     77,503  
     

 

 

 
    Total China     1,616,653  
     

 

 

 
          Denmark — 0.1%  
    8,639     Danske Bank A/S *     142,223  
    3,698     Demant A/S *     139,504  
    1,754     Pandora A/S     175,864  
     

 

 

 
    Total Denmark     457,591  
     

 

 

 
          Finland — 0.0%  
    25,051     Nokia Oyj *     99,903  
    135     UPM-Kymmene Oyj     4,430  
     

 

 

 
    Total Finland     104,333  
     

 

 

 
          France — 0.3%  
    1,789     Atos SE *     163,301  
    5,786     Peugeot SA *     135,747  
    2,040     Publicis Groupe SA     91,927  
    4,032     Renault SA *     160,078  
    6,562     Societe Generale SA *     130,110  
    984     Unibail-Rodamco-Westfield (REIT)     69,238  
    2,497     Valeo SA     96,334  
     

 

 

 
    Total France     846,735  
     

 

 

 
          Germany — 0.1%  
    12,508     Aroundtown SA *     86,568  
    2,180     Bayer AG (Registered)     125,598  
    301     Bayerische Motoren Werke AG     26,118  
    2,311     Daimler AG (Registered)     154,724  
    8,916     Deutsche Lufthansa AG (Registered) *     102,792  
     

 

 

 
    Total Germany     495,800  
     

 

 

 
          Hong Kong — 0.2%  
    20,500     CK Hutchison Holdings Ltd     148,699  
    432,000     First Pacific Co Ltd     131,885  
    24,000     Hongkong Land Holdings Ltd     97,427  
    45,500     Kerry Properties Ltd     116,572  
    255,000     PCCW Ltd     154,747  
    3,000     Swire Pacific Ltd – Class A     17,191  
    5,000     Wharf Holdings Ltd (The)     12,369  
     

 

 

 
    Total Hong Kong     678,890  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Israel — 0.1%  
    17,000     Teva Pharmaceutical Industries Ltd Sponsored ADR *     161,670  
     

 

 

 
          Italy — 0.1%      
    2,131     EXOR NV     149,062  
    12,435     Leonardo SPA     90,268  
    180,790     Telecom Italia SPA     85,203  
    303,877     Telecom Italia SPA-RSP     155,430  
     

 

 

 
    Total Italy     479,963  
     

 

 

 
          Japan — 1.7%  
    17,900     Asahi Kasei Corp     163,649  
    3,300     Astellas Pharma Inc     47,004  
    1,200     Central Japan Railway Co     152,509  
    2,200     Daiwa House Industry Co Ltd     67,232  
    4,800     Electric Power Development Co Ltd     64,424  
    5,000     Honda Motor Co Ltd     139,110  
    31,000     Inpex Corp     171,705  
    6,700     ITOCHU Corp     176,808  
    4,900     KDDI Corp     139,436  
    6,100     Nippon Telegraph & Telephone Corp     144,267  
    86,248     NTT DOCOMO Inc     3,207,672  
    17,800     Obayashi Corp     156,679  
    9,900     ORIX Corp     146,533  
    8,800     Sekisui House Ltd     157,794  
    11,700     Shimizu Corp     88,484  
    12,300     Sumitomo Chemical Co Ltd     43,454  
    12,600     Sumitomo Dainippon Pharma Co Ltd     158,894  
    700     Suzuki Motor Corp     37,540  
    2,600     Taisei Corp     91,468  
    5,400     TIS Inc     107,241  
    55,300     Tokyo Electric Power Co Holdings Inc *     143,933  
    2,200     Tosoh Corp     34,455  
     

 

 

 
    Total Japan     5,640,291  
     

 

 

 
          Netherlands — 0.2%  
    5,996     ABN AMRO Bank NV CVA *     61,383  
    27,935     Aegon NV     103,340  
    3,600     AerCap Holdings NV *     132,336  
    16,207     ING Groep NV *     157,641  
    4,784     Koninklijke Ahold Delhaize NV     136,781  
    676     NN Group NV     27,320  
    1,763     Randstad NV *     109,038  
     

 

 

 
    Total Netherlands     727,839  
     

 

 

 
          New Zealand — 0.0%  
    32,678     Meridian Energy Ltd     147,413  
     

 

 

 
          Singapore — 0.0%      
    44,600     Yangzijiang Shipbuilding Holdings Ltd     28,982  
     

 

 

 
         
Shares
    Description   Value ($)  
          South Africa — 0.1%      
    16,824     Bidvest Group Ltd (The)     176,373  
    19,557     Old Mutual Ltd     14,690  
     

 

 

 
    Total South Africa     191,063  
     

 

 

 
          Spain — 0.1%  
    27,772     Banco Bilbao Vizcaya Argentaria SA     128,600  
    52,704     Banco Santander SA *     152,848  
     

 

 

 
    Total Spain     281,448  
     

 

 

 
          Sweden — 0.0%  
    18,350     Nordea Bank Abp *     156,827  
     

 

 

 
          Switzerland — 0.1%      
    2,402     Adecco Group AG (Registered)     145,206  
    1,177     Banque Cantonale Vaudoise (Registered)     121,202  
     

 

 

 
    Total Switzerland     266,408  
     

 

 

 
          United Kingdom — 4.0%  
    4,312     Aviva Plc     18,256  
    2,465     Berkeley Group Holdings Plc (The)     150,670  
    85,428     BT Group Plc     132,235  
    1,851     Carnival Plc     32,086  
    2,454     Coca-Cola HBC AG *     70,098  
    37,366     ITV Plc *     46,500  
    19,642     Kingfisher Plc *     71,332  
    51,490     M&G Plc     127,759  
    35,082     Micro Focus International Plc *     161,579  
    28     National Grid Plc     313  
    338,900     Royal Dutch Shell Plc – Class B Sponsored ADR     10,997,305  
    170,433     RSA Insurance Group Plc     1,531,414  
    751     Smiths Group Plc     14,430  
    26,886     Taylor Wimpey Plc *     54,718  
    13,152     WPP Plc     126,729  
     

 

 

 
    Total United Kingdom     13,535,424  
     

 

 

 
          United States — 34.5%  
    900     Alexion Pharmaceuticals, Inc. *     109,899  
    2,000     Alliance Data Systems Corp.     146,280  
    1,600     Ally Financial, Inc. (a)     47,440  
    1,700     Arrow Electronics, Inc. *     155,805  
    3,300     Athene Holding Ltd. – Class A * (a)     146,355  
    4,200     Bed Bath & Beyond, Inc.     88,032  
    500     Biogen, Inc. *     120,085  
    39,000     Bristol-Myers Squibb Co.     2,433,600  
    1,600     Capital One Financial Corp. (a)     137,024  
    2,600     Capri Holdings Ltd. *     91,988  
    3,900     Carnival Corp. (a)     77,922  
    2,400     Carrier Global Corp.     91,368  
    2,400     CBRE Group, Inc. – Class A *     146,736  
    1,900     Centene Corp. * (a)     117,135  
    17,000     CenturyLink, Inc. (a)     177,650  
    800     Cigna Corp.     167,312  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United States — continued  
    3,000     Citigroup, Inc.     165,210  
    2,400     Citizens Financial Group, Inc. (a)     78,384  
    1,500     Cognizant Technology Solutions Corp. – Class A     117,195  
    3,100     Comcast Corp. – Class A (a)     155,744  
    109,856     Concho Resources, Inc. (b)     6,314,523  
    3,800     Corteva, Inc. (a)     145,616  
    25,600     Coty Inc. – Class A (a)     184,064  
    2,200     CVS Health Corp. (a)     149,138  
    414,700     Discovery, Inc. – Class C * (a) (b)     9,961,094  
    4,300     DISH Network Corp. – Class A *     154,241  
    1,900     DR Horton, Inc.     141,550  
    1,500     Edwards Lifesciences Corp. * (a)     125,835  
    1,100     Exelon Corp. (a)     45,177  
    1,400     Expedia Group, Inc. (a)     174,286  
    3,700     Exxon Mobil Corp. (a)     141,081  
    702     First Horizon Corp. (a)     8,578  
    101,584     FirstEnergy Corp. (a) (c)     2,698,071  
    200     FleetCor Technologies, Inc. * (a)     53,042  
    16,500     Ford Motor Co. (a)     149,820  
    3,400     Fox Corp. – Class A (a)     98,056  
    4,000     Fox Corp. – Class B *     113,520  
    79,300     GCI Liberty, Inc. – Class A * (a) (b)     7,225,816  
    3,500     General Motors Co.     153,440  
    800     Goldman Sachs Group, Inc. (The) (a)     184,464  
    64,035     Grubhub, Inc. * (b)     4,504,222  
    55,107     HD Supply Holdings, Inc. *     3,075,522  
    20,576     HEICO Corp. (a)     2,542,782  
    1,700     HP, Inc. (a)     37,281  
    51,200     Inphi Corp. * (a)     7,942,656  
    2,700     Intel Corp. (a)     130,545  
    1,500     International Business Machines Corp. (a)     185,280  
    6,500     Invesco Ltd. (a)     105,495  
    800     Jazz Pharmaceuticals Plc * (a)     112,568  
    10,600     Kinder Morgan, Inc.     152,428  
    5,000     Kohl’s Corp.     161,000  
    600     Kraft Heinz Co. (The) (a)     19,764  
    800     Kroger Co. (The) (a)     26,400  
    100     Laboratory Corp. of America Holdings *     19,984  
    500     Leidos Holdings, Inc.     50,350  
    1,800     Lennar Corp. – Class A (a)     136,548  
    38,800     Liberty Broadband Corp. – Class C *     6,105,180  
    94,887     Liberty Media Corp.-Liberty SiriusXM – Class C * (b)     3,891,316  
    4,100     Lincoln National Corp. (a)     193,602  
    900     LKQ Corp. *     31,698  
    2,000     LyondellBasell Industries NV – Class A (a)     170,200  
    113,000     Maxim Integrated Products, Inc. (b)     9,383,520  
    3,500     MetLife, Inc.     161,595  
    2,400     Micron Technology, Inc. *     153,816  
    400     Mohawk Industries, Inc. * (a)     50,332  
    3,200     Molson Coors Brewing Co. – Class B (a)     147,200  
    1,300     Morgan Stanley     80,379  
    76,509     National General Holdings Corp. (b)     2,607,427  
    2,800     Occidental Petroleum Corp. (a)     44,128  
    2,300     Oracle Corp. (a)     132,756  
    2,400     Phillips 66 (a)     145,392  
         
Shares
    Description   Value ($)  
          United States — continued  
    31,300     PNM Resources, Inc.     1,537,143  
    400     Principal Financial Group, Inc. (a)     19,916  
    1,900     Prudential Financial, Inc. (a)     143,678  
    9,900     Qurate Retail, Inc. – Series A     103,653  
    2,200     Raytheon Technologies Corp. (a)     157,784  
    300     Regeneron Pharmaceuticals, Inc. * (a)     154,809  
    600     SS&C Technologies Holdings, Inc.     41,334  
    4,600     Synchrony Financial     140,162  
    21,075     Teladoc Health, Inc. *     4,189,117  
    1,000     Textron, Inc. (a)     45,100  
    1,900     Tyson Foods, Inc. – Class A     123,880  
    400     United Rentals, Inc. * (a)     90,792  
    1,100     Universal Health Services, Inc. – Class B     143,638  
    48,700     Varian Medical Systems, Inc. * (b)     8,472,826  
    4,500     ViacomCBS, Inc. – Class B (a)     158,760  
    3,100     Viatris, Inc. *     52,142  
    30,700     Virtusa Corp. *     1,537,456  
    800     VMware, Inc. – Class A * (a)     111,912  
    2,300     Walgreens Boots Alliance, Inc. (a)     87,423  
    5,300     Wells Fargo & Co.     144,955  
    5,200     Western Union Co. (The) (a)     117,312  
    2,500     Western Digital Corp. (a)     112,200  
    77,232     Willis Towers Watson Plc (b)     16,078,930  
    1,700     WPX Energy, Inc. *     12,767  
    57,600     Xilinx, Inc. (b)     8,383,680  
     

 

 

 
    Total United States     117,655,311  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $135,807,550)
    148,403,430  
     

 

 

 
          PREFERRED STOCKS (d) — 0.0%  
          Germany — 0.0%  
    2,548     Bayerische Motoren Werke AG     167,417  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $139,483)
    167,417  
     

 

 

 
          RIGHTS/WARRANTS — 0.1%  
          Spain — 0.0%  
    84,396     Banco Santander SA, Expires 12/03/20 *     10,540  
     

 

 

 
          United States — 0.1%      
    291,300     Bristol-Myers Squibb Co., Expires 03/31/21 *     343,734  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $526,434)
    354,274  
     

 

 

 
          INVESTMENT FUNDS — 2.5%  
          United States — 2.5%  
    587,100     Altaba, Inc. (e)     8,454,240  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $7,476,745)
    8,454,240  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
    DEBT OBLIGATIONS — 73.6%  
          United States — 72.5%  
          Asset-Backed Securities — 16.4%  
    9,866,545     Canyon CLO Ltd., Series 20-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.92%, 2.16%, due 07/15/28     9,905,157  
    953,288     Catamaran CLO Ltd., Series 13-1A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 0.85%, 1.07%, due 01/27/28     948,908  
    6,469,420     MP CLO VIII Ltd., Series 15-2A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 0.91%, 1.13%, due 10/28/27     6,428,430  
    8,960,392     Neuberger Berman CLO XIX Ltd., Series 15-19A, Class A1R2, 144A, Variable Rate, 3 mo. LIBOR + 0.80%, 1.04%, due 07/15/27     8,925,115  
    4,049,123     Oaktree CLO Ltd., Series 15-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 0.87%, 1.09%, due 10/20/27     4,033,882  
    2,261,020     Ocean Trails CLO VI, Series 16-6A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.15%, 1.39%, due 07/15/28     2,249,636  
    1,797,513     Octagon Investment Partners XXIII Ltd., Series 15-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 0.85%, 1.09%, due 07/15/27     1,789,442  
    2,229,722     Palmer Square Loan Funding Ltd., Series 18-4A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 0.90%, 1.12%, due 11/15/26     2,228,408  
    4,736,969     Palmer Square Loan Funding Ltd., Series 19-3A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 0.85%, 1.07%, due 08/20/27     4,726,543  
    10,047,737     Venture XX CLO Ltd., Series 15-20A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 0.82%, 1.06%, due 04/15/27     10,013,564  
    4,835,266     Zais CLO 8 Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 0.95%, 1.19%, due 04/15/29     4,777,852  
     

 

 

 
    Total Asset-Backed Securities     56,026,937  
     

 

 

 
     Par Value† /
Shares
    Description   Value ($)  
          U.S. Government — 56.1%      
    4,500,000     U.S. Treasury Note, 1.38%, due 01/31/21     4,509,205  
    17,500,000     U.S. Treasury Note, Variable Rate, USBM + 0.14%, 0.22%, due 04/30/21 (b)     17,510,242  
    27,500,000     U.S. Treasury Note, 1.75%, due 11/30/21 (b)     27,943,652  
    65,000,000     U.S. Treasury Note, 1.50%, due 01/31/22 (b)     66,046,094  
    15,000,000     U.S. Treasury Note, 0.13%, due 04/30/22 (b)     15,000,586  
    20,000,000     U.S. Treasury Note, 0.13%, due 05/31/22 (b)     19,997,656  
    20,000,000     U.S. Treasury Note, 0.13%, due 07/31/22     19,993,750  
    20,000,000     U.S. Treasury Note, 0.13%, due 08/31/22 (b)     19,992,969  
     

 

 

 
    Total U.S. Government     190,994,154  
     

 

 

 
    Total United States     247,021,091  
     

 

 

 
          United States Virgin Islands — 1.1%      
          Asset-Backed Securities — 1.1%      
    3,921,227     Denali Capital CLO X LLC, Series 13-1A, Class A1LR, 144A, Variable Rate, 3 mo. LIBOR + 1.05%, 1.26%, due 10/26/27     3,919,552  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $250,801,335)
    250,940,643  
     

 

 

 
          MUTUAL FUNDS — 10.6%  
          United States — 10.6%  
          Affiliated Issuers — 10.6%  
    607,025     GMO Emerging Markets Fund, Class VI     20,614,557  
    683,846     GMO Resources Fund, Class IV     15,639,568  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $30,706,393)
    36,254,125  
     

 

 

 
     
 

 

PURCHASED OPTIONS — 0.1%

 

Description    Exercise
Price
     Expiration
Date
     Number of
Contracts
    Notional
Amount
     Value ($)  

Equity Options – Calls — 0.0%

               

FirstEnergy Corp. (c)

     35.00        04/16/21        313       USD       831,328        9,390  
               

 

 

 

Equity Options – Puts — 0.1%

               

FirstEnergy Corp. (c)

     24.00        04/16/21        1,310       USD       3,479,360        203,050  
               

 

 

 

 

Description    Counterparty    Exercise
Rate
     Expiration
Date
    

Principal/
Notional
Amount

     Floating Rate
Index
  Pay/Receive
Floating Rate
     Value ($)  

Option on Credit Default Swaps – Calls — 0.0%

 

          

CDX.NA.IGS.35.V1-5Y

   MSCI      55.00        01/20/21      USD     25,000,000      Fixed Spread     Receive        80,874  
                     

 

 

 

Option on Credit Default Swaps – Puts — 0.0%

 

          

CDX.NA.HYS.35.VI

   JPM      107.00        02/17/21      USD     6,600,000      Fixed Spread     Pay        73,313  
                     

 

 

 
   TOTAL PURCHASED OPTIONS
(COST $319,793)
       366,627  
                     

 

 

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.3%      
          Money Market Funds — 0.3%      
    699,258     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (f)     699,258  
    154,242     State Street U.S. Treasury Liquidity Fund – Class D Shares, 0.01% (g)     154,242  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $853,500)
    853,500  
     

 

 

 
    TOTAL INVESTMENTS — 130.8%
(Cost $426,631,233)
    445,794,256  
     

 

 

 
          SECURITIES SOLD SHORT — (35.1)%      
          Common Stocks — (35.1)%      
          Australia — (0.2)%      
    (1,588   Afterpay Ltd *     (110,644
    (21,965   APA Group     (166,480
    (688   ASX Ltd     (38,909
    (306   Cochlear Ltd     (49,587
    (76   Ramsay Health Care Ltd     (3,520
    (26,551   Sydney Airport     (131,009
    (4,490   TPG Telecom Ltd *     (25,348
    (13,932   Transurban Group     (143,761
     

 

 

 
    Total Australia     (669,258
     

 

 

 
          Austria — (0.0)%  
    (1,733   Verbund AG     (121,797
     

 

 

 
          Canada — (0.0)%      
    (8,300   AltaGas Ltd     (119,128
     

 

 

 
          China — (0.1)%      
    (24,200   BEST Inc ADR *     (70,906
    (2,100   Yum China Holdings Inc     (118,398
     

 

 

 
    Total China     (189,304
     

 

 

 
          France — (0.3)%  
    (2,771   Edenred     (158,349
    (8,942   Getlink SE *     (148,189
    (180   Hermes International     (175,132
    (287   Sartorius Stedim Biotech     (103,484
    (1,188   Ubisoft Entertainment SA *     (112,655
    (5,370   Vivendi SA     (160,984
    (1,347   Wendel SA     (152,191
     

 

 

 
    Total France     (1,010,984
     

 

 

 
          Germany — (0.4)%  
    (1,512   Delivery Hero SE *     (183,840
    (1,751   Puma SE *     (173,512
    (671   QIAGEN NV *     (32,337
    (4,348   RWE AG     (179,844
    (373   Sartorius AG     (170,072
         
Shares
    Description   Value ($)  
          Germany — continued  
    (1,310   Scout24 AG     (99,823
    (52,779   Telefonica Deutschland Holding AG     (145,684
    (6,481   thyssenkrupp AG *     (43,217
    (4,521   Uniper SE     (153,030
    (1,717   Zalando SE *     (174,408
     

 

 

 
    Total Germany     (1,355,767
     

 

 

 
          Italy — (0.1)%  
    (786   Ferrari NV     (166,538
    (10,370   FinecoBank Banca Fineco SPA *     (163,719
     

 

 

 
    Total Italy     (330,257
     

 

 

 
          Japan — (0.9)%  
    (6,700   Acom Co Ltd     (32,163
    (4,400   Asahi Intecc Co Ltd     (161,200
    (24,500   ENEOS Holdings Inc     (83,687
    (1,300   GMO Payment Gateway Inc     (182,311
    (1,100   Hitachi Metals Ltd     (16,087
    (5,300   Idemitsu Kosan Co Ltd     (109,880
    (10,200   Isetan Mitsukoshi Holdings Ltd     (54,746
    (2,300   Japan Airport Terminal Co Ltd     (133,223
    (2,500   Japan Exchange Group Inc     (61,849
    (30   Japan Real Estate Investment Corp     (155,396
    (18,200   JGC Holding Corp     (162,037
    (8,900   Keikyu Corp     (152,236
    (300   Kintetsu Group Holdings Co Ltd     (13,287
    (8,000   Kyushu Electric Power Co Inc     (67,406
    (2,300   LINE Corp *     (118,519
    (4,700   LIXIL Group Corp     (112,470
    (2,000   M3 Inc     (184,043
    (3,400   McDonald’s Holdings Co Japan Ltd     (164,917
    (2,200   Mercari Inc *     (100,468
    (2,400   Mitsubishi Materials Corp     (45,376
    (3,000   MonotaRO Co Ltd     (182,481
    (1,400   Nihon M&A Center Inc     (97,823
    (1,700   Nippon Paint Holdings Co Ltd     (217,816
    (8,300   Nippon Yusen KK     (180,288
    (1,000   Odakyu Electric Railway Co Ltd     (30,271
    (100   ORIENTAL LAND CO LTD     (16,985
    (10,300   Sharp Corp     (137,714
    (400   Yaskawa Electric Corp     (19,192
     

 

 

 
    Total Japan     (2,993,871
     

 

 

 
          Netherlands — (1.5)%  
    (91   Adyen NV *     (173,824
    (33,258   Altice Europe NV *     (174,960
    (44,336   Just Eat Takeaway.com NV *     (4,718,322
     

 

 

 
    Total Netherlands     (5,067,106
     

 

 

 
          Norway — (0.0)%  
    (428   Schibsted ASA – B Shares *     (15,566
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    Peru — (0.0)%  
    (2,300   Southern Copper Corp     (136,551
     

 

 

 
          Singapore — (0.1)%      
    (25,200   Singapore Exchange Ltd     (166,159
     

 

 

 
          Spain — (0.2)%      
    (84,793   Bankia SA     (145,842
    (2,760   Cellnex Telecom SA     (174,836
    (5,976   Endesa SA     (171,766
    (5,385   Ferrovial SA     (150,378
    (4,710   Siemens Gamesa Renewable Energy SA     (168,919
     

 

 

 
    Total Spain     (811,741
     

 

 

 
          Sweden — (0.1)%  
    (1,145   Evolution Gaming Group AB     (97,425
    (6,153   Lundin Energy AB     (146,998
     

 

 

 
    Total Sweden     (244,423
     

 

 

 
          Switzerland — (0.1)%  
    (128   Straumann Holding AG (Registered)     (147,750
    (1,734   Swiss Re AG     (158,428
     

 

 

 
    Total Switzerland     (306,178
     

 

 

 
          United Kingdom — (3.6)%  
    (2,396   Admiral Group Plc     (90,250
    (4,221   Antofagasta Plc     (69,701
    (21,799   Auto Trader Group Plc     (162,138
    (56,601   ConvaTec Group Plc     (155,688
    (3,535   Experian Plc     (125,245
    (13,165   GVC Holdings Plc *     (180,897
    (1,945   Halma Plc     (57,231
    (7,226   Hargreaves Lansdown Plc     (136,858
    (20,048   Informa Plc *     (140,432
    (1,528   London Stock Exchange Group Plc     (164,797
    (5,310   Ocado Group Plc *     (156,120
    (1,984   Prudential Plc     (30,509
    (321,997   Royal Dutch Shell Plc – Class A Sponsored ADR     (10,896,379
    (310   Spirax-Sarco Engineering Plc     (45,666
     

 

 

 
    Total United Kingdom     (12,411,911
     

 

 

 
          United States — (27.5)%  
    (100,770   Advanced Micro Devices, Inc. *     (9,337,348
    (1,400   AES Corp. (The)     (28,616
    (700   American Tower Corp. (REIT)     (161,840
    (71,231   Analog Devices, Inc.     (9,906,807
    (83,527   Aon Plc – Class A     (17,113,847
    (13,300   Apache Corp.     (171,437
    (300   Arthur J Gallagher & Co.     (34,623
    (600   Autodesk, Inc. *     (168,138
    (800   Avalara, Inc. *     (137,400
    (500   Ball Corp.     (48,005
         
Shares
    Description   Value ($)  
          United States — continued  
    (200   Black Knight, Inc. *     (18,324
    (2,700   Blackstone Group , Inc. (The) – Class A     (160,785
    (39,001   Bristol-Myers Squibb Co.     (2,433,662
    (600   Burlington Stores, Inc. *     (131,124
    (1   Charles Schwab Corp. (The)     (49
    (9,424   Charter Communications, Inc. – Class A *     (6,144,354
    (2,900   Cheniere Energy, Inc. *     (164,401
    (100   Chipotle Mexican Grill, Inc. *     (128,943
    (1,100   Cognex Corp.     (82,654
    (160,526   ConocoPhillips     (6,350,409
    (100   CoStar Group, Inc. *     (91,057
    (500   Coupa Software, Inc. *     (164,455
    (1,000   Crowdstrike Holdings, Inc. – Class A *     (153,280
    (1,300   Datadog, Inc. – Class A *     (128,596
    (900   Devon Energy Corp.     (13,302
    (400   DexCom, Inc. *     (127,872
    (600   Digital Realty Trust, Inc. (REIT)     (80,850
    (376,328   Discovery, Inc. – Class A *     (10,126,986
    (800   DocuSign, Inc. *     (182,304
    (30,200   Endo International Plc *     (153,416
    (700   Equifax, Inc.     (116,830
    (200   Equinix, Inc. (REIT)     (139,558
    (2,700   Equity LifeStyle Properties, Inc. (REIT)     (158,193
    (100   Erie Indemnity Co. – Class A     (22,561
    (1,400   Exact Sciences Corp. *     (169,484
    (1   Fidelity National Financial, Inc.     (36
    (1,600   Guidewire Software, Inc. *     (195,968
    (23,225   HEICO Corp. – Class A     (2,572,169
    (200   IDEXX Laboratories, Inc. *     (92,196
    (1,000   IHS Markit Ltd.     (99,460
    (1,600   Ingersoll Rand, Inc. *     (70,832
    (700   Insulet Corp. *     (180,397
    (900   IQVIA Holdings, Inc. *     (152,091
    (2,100   Lamb Weston Holdings, Inc.     (151,998
    (500   Liberty Broadband Corp. – Class A *     (78,385
    (46,470   Liberty Broadband Corp. – Class C *     (7,312,055
    (3,600   Liberty Media Corp-Liberty Formula One – Class C *     (150,408
    (13,000   Live Nation Entertainment, Inc. *     (853,450
    (300   MarketAxess Holdings, Inc.     (161,754
    (118,939   Marvell Technology Group Ltd.     (5,505,686
    (700   MongoDB, Inc. *     (201,117
    (400   MSCI, Inc.     (163,768
    (1,000   NIKE Inc. – Class B     (134,700
    (3,300   Nuance Communications, Inc. *     (142,329
    (800   Okta, Inc. *     (196,032
    (300   Paycom Software, Inc. *     (125,124
    (300   Pinterest, Inc. – Class A *     (21,006
    (400   Public Storage (REIT)     (89,784
    (600   RingCentral, Inc. – Class A *     (178,230
    (100   Rockwell Automation, Inc.     (25,556
    (600   Roku, Inc. *     (176,142
    (2,000   Rollins, Inc.     (114,360
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United States — continued  
    (300   ServiceNow, Inc. *     (160,365
    (500,170   Sirius XM Holdings, Inc.     (3,246,103
    (4,000   Slack Technologies Inc. – Class A *     (171,520
    (3,900   Snap, Inc. – Class A *     (173,238
    (14,600   Southwestern Energy Co. *     (45,406
    (800   Splunk, Inc. *     (163,344
    (400   Square, Inc. – Class A *     (84,384
    (1,100   Starbucks Corp.     (107,822
    (200   Sun Communities, Inc. (REIT)     (27,800
    (6,900   Targa Resources Corp.     (162,150
    (21,696   Teladoc Health, Inc. *     (4,312,514
    (400   Tesla, Inc. *     (227,040
    (600   Twilio, Inc. – Class A *     (192,054
    (3,800   UDR, Inc. (REIT)     (146,186
    (500   Vail Resorts, Inc.     (137,920
    (100   West Pharmaceutical Services, Inc.     (27,516
    (4,500   Williams Cos, Inc. (The)     (94,410
    (1,600   Wynn Resorts Ltd.     (160,800
    (1,400   Zillow Group, Inc. – Class C *     (150,934
         
Shares
    Description   Value ($)  
          United States — continued  
    (300   Zoom Video Communications, Inc.– Class A *     (143,508
    (800   Zscaler, Inc. *     (124,600
     

 

 

 
    Total United States     (93,756,157
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $107,315,455)
    (119,706,158
     

 

 

 
    RIGHTS/WARRANTS — (0.0)%  
          Spain — (0.0)%      
    (6,879   Ferrovial SA, Expires 11/23/20 *     (1,960
     

 

 

 
    TOTAL RIGHTS/WARRANTS (PROCEEDS $1,610)     (1,960
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $107,317,065)
    (119,708,118 ) 
    Other Assets and Liabilities (net) — 4.3%     14,672,940  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $340,759,078  
     

 

 

 
 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
12/17/2020  

GS

  AUD     762,501     USD     558,277       (1,529
12/17/2020  

SSB

  AUD     8,318,779     USD     6,067,014       (40,391
12/17/2020  

UBSA

  AUD     657,873     USD     479,778       (3,214
02/08/2021  

BCLY

  AUD     62,999,000     USD     45,386,181       (887,440
02/08/2021  

DB

  AUD     2,290,000     USD     1,634,792       (47,244
02/26/2021  

BOA

  AUD     4,562,694     USD     3,350,286       (1,398
02/26/2021  

SSB

  AUD     539     USD     396        
02/02/2021  

CITI

  BRL     5,430,700     USD     1,000,000       (12,548
01/13/2021  

BOA

  CHF     2,619,139     USD     2,870,000       (16,981
01/13/2021  

JPM

  CHF     9,286,847     USD     10,240,000       3,448  
01/13/2021  

MSCI

  CHF     32,126,007     USD     35,043,367       (367,956
12/02/2020  

MSCI

  CLP     4,361,759,000     USD     5,659,989       (64,856
02/03/2021  

MSCI

  COP     16,898,716,400     USD     4,412,198       (274,333
02/16/2021  

CITI

  CZK     42,978,888     USD     1,919,557       (35,351
01/13/2021  

SSB

  EUR     2,395,745     USD     2,832,167       (29,461
01/19/2021  

GS

  EUR     1,651,866     USD     1,936,498       (36,860
01/27/2021  

BOA

  EUR     2,930,000     USD     3,469,914       (30,964
01/13/2021  

MSCI

  GBP     5,000,000     USD     6,610,307       (59,855
01/19/2021  

BCLY

  GBP     1,167,466     USD     1,557,971       485  
01/13/2021  

MSCI

  HUF     1,325,899,492     USD     4,350,599       (58,324
02/16/2021  

CITI

  IDR     7,958,944,000     USD     560,000       1,625  
02/16/2021  

JPM

  IDR     12,507,620,000     USD     860,000       (17,497
01/29/2021  

BOA

  ILS     2,871,665     USD     860,000       (8,480
01/22/2021  

BCLY

  INR     55,148,500     USD     740,000       (1,101
01/22/2021  

JPM

  INR     54,185,760     USD     720,000       (8,164
12/10/2020  

DB

  JPY     166,991,831     USD     1,592,066       (7,641
01/19/2021  

CITI

  JPY     319,207,200     USD     3,072,288       11,655  
01/19/2021  

JPM

  JPY     17,160,000     USD     164,922       388  
01/19/2021  

MSCI

  JPY     531,858,600     USD     5,061,666       (37,917
02/09/2021  

BOA

  JPY     260,030,250     USD     2,500,000       6,123  
02/09/2021  

JPM

  JPY     275,086,881     USD     2,650,000       11,719  

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/20/2021  

JPM

  NOK     67,917,910     USD     7,375,572       (261,025
12/17/2020  

UBSA

  NZD     6,834,188     USD     4,654,390       (137,891
02/05/2021  

BCLY

  NZD     2,210,000     USD     1,475,546       (74,238
02/05/2021  

JPM

  NZD     14,900,000     USD     10,125,522       (323,248
02/05/2021  

MSCI

  NZD     34,560,000     USD     23,003,309       (1,232,231
02/02/2021  

MSCI

  PEN     5,466,750     USD     1,510,340       (5,843
12/03/2020  

JPM

  PHP     18,401,500     USD     380,000       (2,647
12/03/2020  

MSCI

  PHP     38,645,795     USD     798,302       (5,312
01/25/2021  

JPM

  PHP     57,047,295     USD     1,181,103       (1,807
02/16/2021  

DB

  PLN     3,783,372     USD     1,010,000       1,476  
02/26/2021  

BOA

  RON     1,456,830     USD     353,517       (1,362
02/16/2021  

BCLY

  RUB     142,598,274     USD     1,830,000       (24,163
02/16/2021  

MSCI

  RUB     46,736,520     USD     600,000       (7,701
02/05/2021  

BCLY

  SEK     26,377,958     USD     3,040,000       (39,499
02/05/2021  

JPM

  SEK     59,413,433     USD     6,890,000       (46,232
01/15/2021  

BCLY

  SGD     668,905     USD     500,000       1,234  
12/07/2020  

BCLY

  TWD     22,492,880     USD     790,000       2,001  
12/07/2020  

CITI

  TWD     15,421,968     USD     540,000       (282
12/07/2020  

JPM

  TWD     9,660,760     USD     340,000       1,552  
12/07/2020  

MSCI

  TWD     26,326,342     USD     922,114       (185
02/08/2021  

BOA

  USD     2,223,510     AUD     3,110,000       60,827  
02/02/2021  

JPM

  USD     1,644,641     BRL     9,444,678       116,309  
12/02/2020  

MSCI

  USD     444,557     CAD     582,960       4,324  
12/02/2020  

SSB

  USD     5,998,424     CAD     7,971,686       139,794  
02/01/2021  

SSB

  USD     6,587,698     CAD     8,554,646       1,822  
02/03/2021  

JPM

  USD     23,968,636     CAD     31,874,092       583,635  
02/03/2021  

MSCI

  USD     23,973,954     CAD     31,874,091       578,317  
12/02/2020  

MSCI

  USD     5,691,019     CLP     4,361,759,000       33,825  
02/26/2021  

MSCI

  USD     2,820,954     CLP     2,180,879,500       46,783  
02/03/2021  

MSCI

  USD     1,280,000     COP     4,641,640,000       7,269  
02/16/2021  

BOA

  USD     660,000     CZK     14,689,415       8,153  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
02/16/2021  

CITI

  USD     400,000     CZK     8,868,760       3,398  
02/16/2021  

DB

  USD     640,000     CZK     13,988,230       (3,741
01/13/2021  

UBSA

  USD     23,554,115     EUR     19,915,545       234,256  
01/19/2021  

BOA

  USD     1,250,667     EUR     1,070,830       28,572  
01/19/2021  

DB

  USD     14,021     EUR     11,800       76  
01/27/2021  

DB

  USD     30,285,458     EUR     25,500,000       182,939  
01/27/2021  

JPM

  USD     16,436,667     EUR     13,820,000       76,009  
02/16/2021  

BCLY

  USD     776,330     EUR     653,823       5,228  
02/16/2021  

GS

  USD     23,639,560     EUR     20,000,000       267,748  
02/16/2021  

JPM

  USD     362,186     EUR     305,148       2,577  
01/13/2021  

MSCI

  USD     13,178,592     GBP     10,186,000       409,861  
01/13/2021  

BOA

  USD     320,000     HUF     96,988,512       2,509  
02/16/2021  

JPM

  USD     2,260,322     IDR     33,629,064,000       98,992  
01/29/2021  

MSCI

  USD     2,564,807     ILS     8,691,619       63,807  
01/22/2021  

JPM

  USD     451,271     INR     33,482,018       (1,330
12/10/2020  

MSCI

  USD     7,397,708     JPY     774,521,220       21,859  
12/10/2020  

SSB

  USD     11,905,570     JPY     1,259,096,844       156,014  
02/09/2021  

BOA

  USD     8,310,000     JPY     870,584,961       39,535  
02/09/2021  

MSCI

  USD     30,042,865     JPY     3,113,867,801       (178,635
02/10/2021  

MSCI

  USD     1,545,260     JPY     160,250,771       (8,322
02/10/2021  

SSB

  USD     6,907,435     JPY     715,321,476       (46,908
02/19/2021  

MSCI

  USD     4,095,683     KRW     4,530,807,850       (10,273
01/21/2021  

BOA

  USD     1,000,000     MXN     20,907,425       29,074  

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/21/2021  

CITI

  USD     800,000     MXN     17,058,016       39,604  
01/21/2021  

GS

  USD     760,000     MXN     16,281,015       41,359  
01/21/2021  

MSCI

  USD     1,527,501     MXN     32,557,530       74,996  
01/20/2021  

JPM

  USD     6,620,000     NOK     60,975,624       236,017  
12/17/2020  

BOA

  USD     466,486     NZD     683,267       12,636  
12/17/2020  

UBSA

  USD     157,867     NZD     228,666       2,478  
02/05/2021  

JPM

  USD     10,860,744     NZD     16,170,000       478,628  
02/02/2021  

MSCI

  USD     1,800,000     PEN     6,460,080       (8,320
12/03/2020  

JPM

  USD     1,183,554     PHP     57,047,295       2,707  
02/16/2021  

MSCI

  USD     1,462,967     PLN     5,549,729       16,410  
02/16/2021  

BCLY

  USD     208,378     RUB     16,244,616       2,846  
02/05/2021  

BCLY

  USD     41,451,927     SEK     368,909,714       1,616,503  
02/05/2021  

JPM

  USD     3,890,000     SEK     34,992,394       195,193  
01/15/2021  

GS

  USD     660,000     SGD     896,174       8,228  
01/15/2021  

MSCI

  USD     670,000     SGD     907,875       6,954  
01/15/2021  

BOA

  USD     1,550,000     THB     48,398,710       49,643  
02/16/2021  

BCLY

  USD     4,050,000     TRY     32,285,385       (37,502
12/07/2020  

JPM

  USD     2,564,793     TWD     73,901,950       24,235  
02/02/2021  

MSCI

  USD     930,259     TWD     26,326,342       (329
01/29/2021  

DB

  USD     1,120,000     ZAR     18,415,137       60,274  
01/29/2021  

MSCI

  USD     2,718,637     ZAR     44,882,790       158,019  
           

 

 

 
            $ 1,763,417  
           

 

 

 
 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
32   CAC40 10 Euro     December 2020       2,099,554       6,712  
57  

Canadian Government

Bond 10 Yr.

    March 2021       6,532,594       6,190  
19   Hang Seng Index     December 2020       3,235,119       (25,529
342   Mini MSCI Emerging Markets     December 2020       20,559,330       1,746,027  
13   S&P/TSX 60     December 2020       2,046,046       113,753  
164   U.S. Treasury Note 10 Yr. (CBT)     March 2021       22,660,188       38,651  
     

 

 

   

 

 

 
      $ 57,132,831     $ 1,885,804  
     

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
6   DAX Index     December 2020       2,380,420       (70,241
54   E-mini Russell 2000 Index     December 2020       4,914,270       (455,633
138   Euro Bund     December 2020       28,848,494       26,171  
80   FTSE/JSE TOP 40     December 2020       2,704,253       (28,996
11   Gilt Long Bond     March 2021       1,967,850       (2,404
9   Japanese Government Bond 10 Yr. (OSE)     December 2020       13,106,034       3,209  
42   S&P 500 E-Mini     December 2020       7,608,720       (619,212
28   SPI 200     December 2020       3,349,132       (190,480
6   TOPIX Index     December 2020       1,007,335       (18,419
     

 

 

   

 

 

 
      $ 65,886,508     $ (1,356,005
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Written Options

 

Description

   Exercise
Price
    

Expiration
Date

   Number of
Contracts
    Notional
Amount
   

Value ($)

Equity Options – Calls

              

FirstEnergy Corp. (c)

     30.00      04/16/21      (1,374     USD       (3,649,344   (151,140)
              

 

Equity Options – Puts

              

FirstEnergy Corp. (c)

     28.00      04/16/21      (1,374     USD       (3,649,344   (439,680)
              

 

Index Options – Puts

              

S&P/ASX 200 Index

     6,525.00      12/03/20      (49     AUD       (3,193,727   (17,874)

S&P 500 Index

     3,585.00      12/04/20      (10     USD       (3,621,630   (12,700)

S&P 500 Index

     3,560.00      12/11/20      (16     USD       (5,794,608   (33,600)

S&P 500 Index

     3,635.00      12/18/20      (16     USD       (5,794,608   (95,360)
              

 

     Total Index Options – Puts     (159,534)
              

 

 

Description

 

Counterparty

  Exercise
Rate
    Expiration
Date
   

Principal/

Notional
Amount

  Floating Rate
Index
    Pay/Receive
Floating Rate
    Value ($)  

Written Options on Credit Default Swaps – Puts

 

CDX.NA.IGS.35.V1-5Y

  MSCI     80.00       01/20/21     USD   (25,000,000)     Fixed Spread       Pay       (12,074

CDX. NA.HYS.35.V1

  JPM     101.00       02/17/21     USD   (13,200,000)     Fixed Spread       Pay       (47,353
             

 

 

 
       

Total Written Options on Credit Default

Swaps - Puts

 

 

    (59,427
               

 

 

 
       

TOTAL WRITTEN OPTIONS

(Premiums $980,190)

 

 

  $ (809,781
               

 

 

 

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.NA.IGS.35.V1-5Y

  USD   25,000,000     1.00%       0.52%       N/A       12/20/2025       Quarterly     $ (547,781   $ (621,275   $ (73,494
               

 

 

   

 

 

   

 

 

 

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^:

                     

ITRAXX.EUROPES.32.V1-5Y

  JPM   EUR     9,600,000       1.00%       1.84%       N/A       12/20/2024       Quarterly       572,808       389,129       (183,679

Sell Protection^:

                     

ITRAXX.EUROPES.32.V1-5Y

  JPM   EUR     20,000,000       1.00%       0.75%       20,000,000 EUR       12/20/2024       Quarterly       116,938       245,559       128,621  
                 

 

 

   

 

 

   

 

 

 
                  $ 689,746     $ 634,688     $ (55,058
                 

 

 

   

 

 

   

 

 

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 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 November 30, 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) ($)
 

3 Month AUD BBSW

   0.15%   AUD     24,780,000       12/16/2022     Quarterly     3,046       25,073       22,027  

3 Month AUD BBSW

   0.10%   AUD     36,530,000       12/16/2022     Quarterly     (1,770     10,164       11,934  

0.07%

   3 Month AUD BBSW   AUD     40,650,000       12/16/2022     Quarterly           5,091       5,091  

(0.67)%

   6 Month CHF LIBOR   CHF     30,330,000       12/16/2022     Semi-Annually     7,353       (23,408     (30,761

6 Month CHF LIBOR

   (0.72)%   CHF     21,630,000       12/16/2022     Semi-Annually     (172     (3,054     (2,882

0.18%

   3 Month NZD Bank Bill Rate   NZD     220,230,000       12/16/2022     Quarterly     42,020       203,369       161,349  

(0.05)%

   3 Month SEK STIBOR   SEK     150,890,000       12/16/2022     Quarterly     1,392       2,234       842  

3 Month SEK STIBOR

   (0.04)%   SEK     158,100,000       12/16/2022     Quarterly     395       1,350       955  

3 Month SEK STIBOR

   (0.03)%   SEK     166,000,000       12/16/2022     Quarterly           2,386       2,386  

0.55%

   3 Month CAD LIBOR   CAD     22,480,000       12/19/2022     Semi-Annually           794       794  

0.56%

   3 Month CAD LIBOR   CAD     63,670,000       12/19/2022     Semi-Annually     8,005       (7,595     (15,600

0.55%

   3 Month CAD LIBOR   CAD     17,650,000       12/19/2022     Semi-Annually           (195     (195

6 Month EURIBOR

   (0.48)%   EUR     23,040,000       12/21/2022     Semi-Annually     5,571       21,688       16,117  

6 Month GBP LIBOR

   0.08%   GBP     104,780,000       12/21/2022     Semi-Annually     40,853       (25,416     (66,269

3 Month USD LIBOR

   0.24%   USD     24,380,000       12/21/2022     Quarterly     (9,706     3,906       13,612  

3 Month USD LIBOR

   0.23%   USD     9,850,000       12/21/2022     Quarterly     59       (1,394     (1,453

0.87%

   6 Month AUD BBSW   AUD     5,160,000       12/16/2030     Semi-Annually     (4,054     8,852       12,906  

0.76%

   6 Month AUD BBSW   AUD     7,580,000       12/16/2030     Semi-Annually     4,084       71,711       67,627  

0.77%

   6 Month AUD BBSW   AUD     1,460,000       12/16/2030     Semi-Annually           12,556       12,556  

0.88%

   6 Month AUD BBSW   AUD     4,210,000       12/16/2030     Semi-Annually           5,713       5,713  

6 Month AUD BBSW

   0.79%   AUD     16,610,000       12/16/2030     Semi-Annually     1,718       (128,553     (130,271

0.93%

   6 Month AUD BBSW   AUD     5,160,000       12/16/2030     Semi-Annually           (12,425     (12,425

6 Month AUD BBSW

   0.89%   AUD     8,490,000       12/16/2030     Semi-Annually           (561     (561

3 Month CAD LIBOR

   1.28%   CAD     39,930,000       12/16/2030     Semi-Annually     (10,911     236,830       247,741  

3 Month CAD LIBOR

   1.23%   CAD     8,780,000       12/16/2030     Semi-Annually     8,945       19,426       10,481  

3 Month CAD LIBOR

   1.20%   CAD     66,370,000       12/16/2030     Semi-Annually     (104,361     (1,235     103,126  

3 Month CAD LIBOR

   1.11%   CAD     8,330,000       12/16/2030     Semi-Annually     (2,368     (53,433     (51,065

3 Month CAD LIBOR

   1.09%   CAD     14,870,000       12/16/2030     Semi-Annually           (118,609     (118,609

3 Month CAD LIBOR

   1.09%   CAD     2,640,000       12/16/2030     Semi-Annually           (21,450     (21,450

3 Month CAD LIBOR

   1.11%   CAD     5,090,000       12/16/2030     Semi-Annually           (34,164     (34,164

3 Month CAD LIBOR

   1.13%   CAD     8,130,000       12/16/2030     Semi-Annually           (42,476     (42,476

3 Month CAD LIBOR

   1.15%   CAD     2,060,000       12/16/2030     Semi-Annually           (7,699     (7,699

6 Month CHF LIBOR

   (0.26)%   CHF     5,240,000       12/16/2030     Semi-Annually     (7,603     21,411       29,014  

(0.32)%

   6 Month CHF LIBOR   CHF     3,490,000       12/16/2030     Semi-Annually           11,425       11,425  

6 Month CHF LIBOR

   (0.30)%   CHF     62,040,000       12/16/2030     Semi-Annually     (25,072     (62,612     (37,540

(0.27)%

   6 Month CHF LIBOR   CHF     6,890,000       12/16/2030     Semi-Annually           (20,351     (20,351

(0.29)%

   6 Month CHF LIBOR   CHF     5,920,000       12/16/2030     Semi-Annually           (4,080     (4,080

0.59%

   3 Month NZD Bank Bill Rate   NZD     41,980,000       12/16/2030     Quarterly     (19,391     857,329       876,720  

0.85%

   3 Month NZD Bank Bill Rate   NZD     4,320,000       12/16/2030     Quarterly           11,919       11,919  

3 Month NZD Bank Bill Rate

   0.55%   NZD     22,000,000       12/16/2030     Quarterly     40,790       (497,302     (538,092

3 Month NZD Bank Bill Rate

   0.46%   NZD     11,010,000       12/16/2030     Quarterly     (6,086     (323,212     (317,126

3 Month NZD Bank Bill Rate

   0.48%   NZD     19,180,000       12/16/2030     Quarterly     478       (536,891     (537,369

3 Month NZD Bank Bill Rate

   0.74%   NZD     4,230,000       12/16/2030     Quarterly           (42,682     (42,682

3 Month NZD Bank Bill Rate

   0.81%   NZD     4,470,000       12/16/2030     Quarterly     749       (24,527     (25,276


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Centrally Cleared Interest Rate Swaps — continued

 

Fund Pays

   Fund Receives  

Notional

Amount

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

3 Month NZD Bank Bill Rate

   0.78%   NZD     48,460,000       12/16/2030     Quarterly     (87,480     (348,522     (261,042

3 Month NZD Bank Bill Rate

   0.82%   NZD     29,970,000       12/16/2030     Quarterly     (2,744     (126,634     (123,890

3 Month NZD Bank Bill Rate

   0.86%   NZD     35,770,000       12/16/2030     Quarterly     (4,353     (62,102     (57,749

3 Month SEK STIBOR

   0.34%   SEK     288,510,000       12/16/2030     Quarterly     (75,165     (34,726     40,439  

0.30%

   3 Month SEK STIBOR   SEK     39,100,000       12/16/2030     Quarterly           21,896       21,896  

0.31%

   3 Month SEK STIBOR   SEK     52,400,000       12/16/2030     Quarterly           22,069       22,069  

3 Month SEK STIBOR

   0.30%   SEK     25,500,000       12/16/2030     Quarterly           (12,657     (12,657

0.37%

   3 Month SEK STIBOR   SEK     47,900,000       12/16/2030     Quarterly     267       (10,860     (11,127

0.39%

   3 Month SEK STIBOR   SEK     41,690,000       12/16/2030     Quarterly           (21,992     (21,992

0.39%

   3 Month SEK STIBOR   SEK     33,700,000       12/16/2030     Quarterly           (17,387     (17,387

(0.18)%

   6 Month EURIBOR   EUR     74,580,000       12/18/2030     Semi-Annually     52,674       (655,139     (707,813

(0.21)%

   6 Month EURIBOR   EUR     59,850,000       12/18/2030     Semi-Annually     (24,341     (342,097     (317,756

(0.18)%

   6 Month EURIBOR   EUR     4,600,000       12/18/2030     Semi-Annually     (16,380     (43,231     (26,851

0.45%

   6 Month GBP LIBOR   GBP     23,390,000       12/18/2030     Semi-Annually     (9,825     90,255       100,080  

0.36%

   6 Month GBP LIBOR   GBP     2,820,000       12/18/2030     Semi-Annually     (248     44,530       44,778  

6 Month GBP LIBOR

   0.54%   GBP     4,880,000       12/18/2030     Semi-Annually     10,357       36,163       25,806  

6 Month GBP LIBOR

   0.53%   GBP     5,570,000       12/18/2030     Semi-Annually     8,162       36,107       27,945  

0.70%

   3 Month USD LIBOR   USD     14,720,000       12/18/2030     Quarterly     19,285       218,229       198,944  

0.88%

   3 Month USD LIBOR   USD     62,110,000       12/18/2030     Quarterly     (228,759     (180,309     48,450  

3 Month USD LIBOR

   0.82%   USD     5,080,000       12/18/2030     Quarterly     (3,637     (15,604     (11,967

3 Month USD LIBOR

   0.75%   USD     2,740,000       12/18/2030     Quarterly     679       (27,203     (27,882

0.86%

   3 Month USD LIBOR   USD     3,380,000       12/18/2030     Quarterly           (2,198     (2,198

0.85%

   3 Month USD LIBOR   USD     3,380,000       12/18/2030     Quarterly           (46     (46

0.85%

   3 Month USD LIBOR   USD     6,940,000       12/18/2030     Quarterly           (434     (434

0.86%

   3 Month USD LIBOR   USD     6,850,000       12/18/2030     Quarterly           (8,145     (8,145

0.88%

   3 Month USD LIBOR   USD     7,340,000       12/18/2030     Quarterly           (19,511     (19,511
            

 

 

   

 

 

   

 

 

 
             $ (387,544   $ (1,919,645   $ (1,532,101
            

 

 

   

 

 

   

 

 

 

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        2,383,206        02/25/2021        Quarterly               79,406        79,406  

Total Return on MSCI ACWI Commodity Producers Index

   3 Month USD
LIBOR plus a
spread of
(0.35)%
  MSCI      USD        6,887,089        02/25/2021        Quarterly               229,470        229,470  

Total Return on MSCI ACWI Commodity Producers Index

   3 Month USD
LIBOR plus a
spread of
(0.35)%
  MSCI      USD        6,341,577        02/25/2021        Quarterly               211,294        211,294  

1 Month FED Funds Rate plus 0.15% (g)

   Total Return
on Bloomberg
Commodity
Index
  MSCI      USD        2,456,470        08/20/2021        Monthly        3,334        7,386        4,052  

Total Return on Equity Basket (h)

   1 Month FED
Funds Rate
minus 0.50%
  GS      USD        90,215        05/24/2022        Monthly               9,993        9,993  

Total Return on Equity Basket (h)

   1 Month FED
Funds Rate
minus 0.75%
  GS      USD        88,444        05/24/2022        Monthly               721        721  

1 Month FED Funds Rate plus 0.60%

   Total Return
on Equity
Basket(h)
  GS      USD        97,754        05/24/2022        Monthly               404        404  


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

OTC Total Return Swaps — continued

 

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 FED
Funds Rate
minus 0.40%
  MORD      USD        1,540,173        10/18/2022        Monthly               (32,829      (32,829

1 Month FED Funds Rate plus 0.95%

   Total Return
on Equity
Basket (h)
  MORD      USD        51,891        10/18/2022        Monthly               1,078        1,078  
                   

 

 

    

 

 

    

 

 

 
   $ 3,334      $ 506,923      $ 503,589  
  

 

 

    

 

 

    

 

 

 

As of November 30, 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)

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

 

(e)

Investment valued using significant unobservable inputs.

 

(f)

The rate disclosed is the 7 day net yield as of November 30, 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)

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 November 30, 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

CVA - Certificaaten van aandelen (Share Certificates)

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.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

UBSA - UBS AG

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 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 Benchmark-Free Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 100.0%  
          Affiliated Issuers — 100.0%      
    7,650,737     GMO Emerging Country Debt Fund, Class IV     210,012,724  
    3,803,989     GMO High Yield Fund, Class VI     79,122,969  
    456,670,191     GMO Implementation Fund     5,662,710,366  
    12,850,716     GMO Opportunistic Income Fund, Class VI     336,174,727  
    5,590,398     GMO SGM Major Markets Fund, Class VI     184,650,858  
    5,713,838     GMO Special Opportunities Fund, Class VI     181,414,366  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $6,958,992,770)
    6,654,086,010  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%      
    3,796,402     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (a)     3,796,402  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $3,796,402)
    3,796,402  
     

 

 

 
    TOTAL INVESTMENTS — 100.1%
(Cost $6,962,789,172)
    6,657,882,412  
    Other Assets and Liabilities (net) — (0.1%)     (3,369,446
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $6,654,512,966  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
    COMMON STOCKS — 67.0%  
          Argentina — 0.0%      
    15,000     Banco BBVA Argentina SA ADR *     48,000  
    4,200     Globant SA *     792,456  
    22,800     Grupo Financiero Galicia SA ADR     196,308  
     

 

 

 
    Total Argentina     1,036,764  
     

 

 

 
          Australia — 1.0%      
    83,959     Accent Group Ltd     133,173  
    25,859     Adairs Ltd     60,162  
    17,132     Ampol Ltd     385,316  
    43,739     Ansell Ltd     1,196,366  
    87,031     Asaleo Care Ltd     63,975  
    13,577     AUB Group Ltd     166,415  
    54,997     Austal Ltd     117,883  
    236,680     Australian Pharmaceutical Industries Ltd     209,147  
    30,888     Aventus Group (REIT)     60,567  
    9,715     BHP Group Ltd     270,915  
    127,008     BlueScope Steel Ltd     1,589,181  
    19,756     Codan Ltd     153,260  
    17,565     Computershare Ltd     184,044  
    156,729     Dexus (REIT)     1,122,914  
    428,225     Fortescue Metals Group Ltd     5,705,069  
    39,768     GDI Property Group (REIT)     33,609  
    133,824     Genworth Mortgage Insurance Australia Ltd     259,749  
    449,084     GPT Group (The) (REIT)     1,552,139  
    61,671     JB Hi-Fi Ltd     2,071,527  
    29,709     McMillan Shakespeare Ltd     259,144  
    278,478     Mirvac Group (REIT)     526,149  
    99,102     Mount Gibson Iron Ltd     54,434  
    23,169     Rio Tinto Ltd     1,728,616  
    136,209     Sandfire Resources NL     438,392  
    775,864     Scentre Group (REIT) (a)     1,587,099  
    79,024     Sigma Healthcare Ltd *     32,477  
    243,512     Stockland (REIT)     808,742  
    13,140     Virtus Health Ltd * (a)     51,502  
     

 

 

 
    Total Australia     20,821,966  
     

 

 

 
          Austria — 0.0%      
    2,781     AT&S Austria Technologie & Systemtechnik AG     66,479  
    2,078     Vienna Insurance Group AG Wiener Versicherung Gruppe     49,503  
     

 

 

 
    Total Austria     115,982  
     

 

 

 
          Belgium — 0.3%      
    43,034     Ageas SA/NV     2,106,971  
    40,687     AGFA-Gevaert NV *     168,387  
    12,340     bpost SA     148,862  
    4,523     Etablissements Franz Colruyt NV     269,579  
    260     Sofina SA     82,533  
    26,646     UCB SA (b)     2,851,459  
     

 

 

 
    Total Belgium     5,627,791  
     

 

 

 
     Shares     Description       
Value ($)
 
          Brazil — 0.8%      
    132,900     Banco do Brasil SA     839,958  
    291,300     Camil Alimentos SA     605,720  
    139,500     Cia de Saneamento Basico do Estado de Sao Paulo     1,159,766  
    333,800     Cia de Saneamento do Parana     1,557,658  
    38,000     Cia Paranaense de Energia     462,250  
    270,500     Cielo SA     179,243  
    208,000     Cogna Educacao *     182,088  
    63,700     Dimed SA Distribuidora da Medicamentos     262,177  
    33,100     Grendene SA     51,157  
    149,100     IRB Brasil Resseguros SA     184,517  
    69,700     Mahle-Metal Leve SA     249,533  
    183,400     Marfrig Global Foods SA *     502,541  
    1,276,140     Petrobras Distribuidora SA     4,890,274  
    21,200     Porto Seguro SA     187,569  
    43,700     Qualicorp Consultoria e Corretora de Seguros SA     270,566  
    318,400     Telefonica Brasil SA     2,659,574  
    286,100     TIM SA     720,403  
    138,600     Tupy SA *     554,928  
    53,700     WEG SA     737,430  
     

 

 

 
    Total Brazil     16,257,352  
     

 

 

 
          Canada — 1.1%      
    16,100     AGF Management Ltd – Class B     69,175  
    700     Bank of Montreal     50,305  
    2,800     Bank of Nova Scotia (The)     136,259  
    51,819     Brookfield Asset Management Inc – Class A (b)     2,098,151  
    12,237     BRP Inc Sub Voting     698,113  
    16,600     Canaccord Genuity Group Inc (a)     114,271  
    13,000     Canadian Apartment Properties (REIT)     512,112  
    5,900     Canadian Imperial Bank of Commerce     497,368  
    2,100     Canadian Tire Corp Ltd – Class A     268,374  
    1,400     Canfor Pulp Products Inc     6,306  
    33,300     Cascades Inc     374,359  
    58,700     Celestica Inc *     442,047  
    42,100     CI Financial Corp     551,738  
    4,200     Cogeco Inc     257,265  
    1,400     DREAM Unlimited Corp – Class A     21,000  
    600     Enghouse Systems Ltd     30,950  
    83,800     Fortuna Silver Mines Inc *     533,631  
    8,259     iA Financial Corp Inc     361,661  
    18,900     IGM Financial Inc (a)     499,896  
    33,000     Imperial Oil Ltd (a)     571,218  
    9,200     Linamar Corp     423,765  
    26,200     Magna International Inc     1,606,659  
    48,900     Manulife Financial Corp     833,262  
    23,500     Martinrea International Inc     257,311  
    3,000     Morguard North American Residential Real Estate Investment Trust     37,099  
    38,000     Nutrien Ltd     1,872,260  
    55,400     Power Corp of Canada     1,247,321  
    11,300     Real Matters Inc *     166,711  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Canada — continued      
    24,900     RioCan Real Estate Investment Trust     336,295  
    53,300     Royal Bank of Canada     4,352,813  
    20,200     Sun Life Financial Inc (b)     897,000  
    6,000     Teekay Tankers Ltd – Class A * (a)     69,840  
    75,600     TELUS Corp (a)     1,458,212  
    10,600     TFI International Inc     537,876  
    24,600     Toronto-Dominion Bank (The)     1,312,303  
    18,600     Tourmaline Oil Corp     258,942  
    33,900     Transcontinental Inc – Class A (a)     503,266  
    5,500     Wajax Corp     71,995  
    8,900     Westshore Terminals Investment Corp (a)     113,486  
     

 

 

 
    Total Canada     24,450,615  
     

 

 

 
          Chile — 0.0%      
    390,826     Aguas Andinas SA – Class A     113,365  
    11,671     Empresa Nacional de Telecomunicaciones SA     70,770  
    2,700     Enel Americas SA ADR     19,602  
    5,354     Inversiones La Construccion SA     33,438  
     

 

 

 
    Total Chile     237,175  
     

 

 

 
          China — 12.4%      
    44,000     7Road Holdings Ltd *     15,063  
    3,381,668     Agile Group Holdings Ltd     4,882,592  
    18,411,800     Agricultural Bank of China Ltd – Class H     6,990,852  
    6,000     AK Medical Holdings Ltd     9,452  
    20,200     Alibaba Group Holding Ltd *     663,604  
    61,900     Alibaba Group Holding Ltd Sponsored ADR *     16,301,984  
    1,517,084     Anhui Conch Cement Co Ltd – Class H (b)     9,696,994  
    180,500     Anhui Expressway Co Ltd – Class H     102,850  
    46,000     Asia Cement China Holdings Corp     45,928  
    100     Autohome Inc ADR     9,442  
    5,576,000     BAIC Motor Corp Ltd – Class H     2,086,972  
    15,900     Baidu Inc Sponsored ADR * (b)     2,209,941  
    33,833,000     Bank of China Ltd – Class H     11,941,575  
    17,563,000     Bank of Communications Co Ltd – Class H     9,705,449  
    36,000     Beijing Enterprises Holdings Ltd     116,653  
    314,300     Beijing North Star Co Ltd – Class H     65,252  
    64,500     BEST Inc ADR *     188,985  
    38,100     BYD Co Ltd – Class A     991,120  
    37,000     BYD Electronic International Co Ltd     183,019  
    10,606,000     China Cinda Asset Management Co Ltd – Class H     2,065,256  
    531,000     China Communications Construction Co Ltd – Class H     275,233  
    3,527,357     China Communications Services Corp Ltd – Class H     1,879,808  
    12,853,000     China Construction Bank Corp – Class H     10,047,608  
    460,000     China Dongxiang Group Co Ltd     53,401  
    402,000     China Eastern Airlines Corp Ltd – Class H     181,524  
    3,195,000     China Everbright Bank Co Ltd – Class H     1,246,246  
    816,000     China Feihe Ltd     1,948,777  
    1,058,000     China Greenfresh Group Co Ltd * (c)     11,056  
     Shares     Description       
Value ($)
 
          China — continued      
    161,000     China Hongqiao Group Ltd     140,592  
    10,488,000     China Huarong Asset Management Co Ltd – Class H     1,202,336  
    616,000     China Jinmao Holdings Group Ltd     317,445  
    26,000     China Kepei Education Group Ltd     20,136  
    3,225,000     China Lesso Group Holdings Ltd     5,764,653  
    84,000     China Life Insurance Co Ltd – Class H     189,564  
    508,000     China Lilang Ltd     348,506  
    1,817,000     China Machinery Engineering Corp – Class H     379,896  
    3,579,645     China Medical System Holdings Ltd     3,655,037  
    1,566,000     China Mobile Ltd (b)     9,341,506  
    4,500     China Mobile Ltd Sponsored ADR     134,325  
    6,468,000     China National Building Material Co Ltd – Class H     8,479,742  
    712,000     China Oriental Group Co Ltd     213,376  
    423,000     China Overseas Grand Oceans Group Ltd     252,281  
    690,000     China Overseas Land & Investment Ltd     1,680,004  
    105,000     China Overseas Property Holdings Ltd     68,656  
    4,638     China Petroleum & Chemical Corp ADR     209,081  
    15,300,000     China Petroleum & Chemical Corp – Class H     6,873,363  
    162,000     China Pioneer Pharma Holdings Ltd     20,704  
    5,648,500     China Railway Construction Corp Ltd – Class H     3,732,637  
    13,237,042     China Railway Group Ltd – Class H     6,534,070  
    421,000     China Railway Signal & Communication Corp Ltd – Class H     149,367  
    1,628,000     China Reinsurance Group Corp – Class H     172,141  
    482,000     China Resources Cement Holdings Ltd     598,609  
    42,000     China Resources Gas Group Ltd     202,427  
    530,000     China Resources Land Ltd     2,293,674  
    4,167,000     China Resources Pharmaceutical Group Ltd     2,253,128  
    199,000     China SCE Group Holdings Ltd     91,127  
    408,979     China Shenhua Energy Co Ltd – Class H     788,788  
    725,000     China Shineway Pharmaceutical Group Ltd     495,950  
    13,800     China Taiping Insurance Holdings Co Ltd     24,403  
    13,242,000     China Telecom Corp Ltd – Class H     3,984,839  
    412,000     China Traditional Chinese Medicine Holdings Co Ltd     193,630  
    372,525     China Vanke Co Ltd – Class H     1,414,905  
    15,400     China Yuchai International Ltd     259,336  
    1,348,800     China Zhongwang Holdings Ltd *     293,769  
    229,000     Chongqing Rural Commercial Bank Co Ltd – Class H     98,191  
    430,000     COSCO Shipping Energy Transportation Co Ltd – Class H     189,174  
    3,480,604     Country Garden Holdings Co Ltd     4,589,832  
    25,000     Country Garden Services Holdings Co Ltd     139,687  
    43,500     Dali Foods Group Co Ltd     26,940  
    1,746,000     Dongfeng Motor Group Co Ltd – Class H     1,796,354  
    1,966,000     Dongyue Group Ltd     1,025,444  
    130,000     Edvantage Group Holdings Ltd     134,226  
    1,015,500     Fantasia Holdings Group Co Ltd *     197,703  
    363,500     Fosun International Ltd     524,542  
    57,000     Fu Shou Yuan International Group Ltd     57,368  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          China — continued      
    687,000     Geely Automobile Holdings Ltd     1,900,536  
    1,550,500     Great Wall Motor Co Ltd – Class H     3,135,343  
    157,000     Greenland Hong Kong Holdings Ltd     48,531  
    708,000     Guangdong Investment Ltd     1,173,933  
    11,800     Guangdong Tapai Group Co Ltd – Class A     24,520  
    350,000     Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd – Class H     899,857  
    1,059,600     Guangzhou R&F Properties Co Ltd – Class H     1,382,683  
    131,000     Guotai Junan Securities Co Ltd – Class H     192,975  
    323,000     Haier Electronics Group Co Ltd     1,539,777  
    43,000     Haitian International Holdings Ltd     116,494  
    125,500     Hebei Construction Group Corp Ltd – Class H     356,240  
    8,500     Hengan International Group Co Ltd     58,463  
    238,987     Hisense Home Appliances Group Co Ltd – Class A     542,496  
    368,000     Hisense Home Appliances Group Co Ltd – Class H     553,117  
    20,700     Hollysys Automation Technologies Ltd     261,027  
    434,000     Hopson Development Holdings Ltd     1,133,779  
    1,598,000     Huabao International Holdings Ltd     2,174,736  
    2,372,000     IGG Inc     2,367,381  
    8,326,000     Industrial & Commercial Bank of China Ltd – Class H     5,259,741  
    1,000     JOYY Inc ADR     89,070  
    1,100     KE Holdings Inc ADR *     71,863  
    85,500     Kingboard Holdings Ltd     326,671  
    113,000     Kingboard Laminates Holdings Ltd     182,300  
    205,000     KWG Living Group Holdings Ltd *     158,688  
    295,500     KWG Property Holding Ltd     404,267  
    6,389     Lao Feng Xiang Co Ltd – Class A     45,831  
    837,000     Legend Holdings Corp – Class H     1,139,665  
    473,481     Livzon Pharmaceutical Group Inc – Class H     1,865,256  
    258,000     Logan Group Co Ltd     431,908  
    232,000     Longfor Group Holdings Ltd     1,516,080  
    3,488,000     Lonking Holdings Ltd     1,007,149  
    24,000     Lufax Holding Ltd *     395,280  
    1,704,000     Metallurgical Corp of China Ltd – Class H     309,852  
    58,900     Momo Inc Sponsored ADR     846,982  
    48,000     NetEase Inc     893,280  
    95,300     NetEase Inc ADR (b)     8,612,261  
    51,300     New China Life Insurance Co Ltd – Class A     478,156  
    833,000     Nexteer Automotive Group Ltd     882,979  
    2,235,000     Nine Dragons Paper Holdings Ltd     2,936,639  
    908,000     PAX Global Technology Ltd     564,246  
    7,640,000     PICC Property & Casualty Co Ltd – Class H     6,303,834  
    765,000     Poly Property Group Co Ltd     236,899  
    4,215,000     Postal Savings Bank of China Co Ltd – Class H     2,382,468  
    1,668,000     Powerlong Real Estate Holdings Ltd     1,204,065  
    144,000     Qingling Motors Co Ltd – Class H     28,249  
    244,000     Road King Infrastructure Ltd     327,376  
    144,000     Seazen Group Ltd *     127,440  
    318,000     Shanghai Electric Group Co Ltd – Class H *     91,490  
    59,000     Shanghai Industrial Holdings Ltd     87,689  
     Shares     Description       
Value ($)
 
          China — continued      
    298,000     Shanghai Jin Jiang Capital Co Ltd – Class H     48,727  
    2,281,900     Shanghai Pharmaceuticals Holding Co Ltd – Class H     3,858,727  
    144,000     Shenzhen Expressway Co Ltd – Class H     143,609  
    420,858     Shenzhen Investment Ltd     154,037  
    10,500     Shenzhou International Group Holdings Ltd     176,478  
    2,136,500     Shimao Group Holdings Ltd     7,963,114  
    390,500     Sino-Ocean Land Holdings Ltd     82,120  
    147,000     Sinopec Engineering Group Co Ltd – Class H     65,051  
    4,130,000     Sinopec Shanghai Petrochemical Co Ltd – Class H     915,095  
    2,332,000     Sinopharm Group Co Ltd – Class H     5,772,284  
    1,314,000     Sinotruk Hong Kong Ltd     3,274,386  
    1,030,000     Skyworth Group Ltd *     281,131  
    310,000     SOHO China Ltd *     96,387  
    1,689,000     TCL Electronics Holdings Ltd *     1,329,891  
    65,500     Tencent Holdings Ltd     4,774,798  
    9,200     Tencent Holdings Ltd ADR     671,600  
    231,500     Texhong Textile Group Ltd     213,723  
    610,000     Tianjin Port Development Holdings Ltd     47,132  
    2,070,000     Tianneng Power International Ltd     4,343,061  
    136,300     Vipshop Holdings Ltd ADR *     3,481,102  
    51,000     Weichai Power Co Ltd – Class H     104,156  
    975,485     Weifu High-Technology Group Co Ltd – Class A     3,841,293  
    4,382,000     West China Cement Ltd     682,958  
    12,100     Wuhu Sanqi Interactive Entertainment Network Technology Group Co Ltd – Class A     48,076  
    173,600     Xiaomi Corp – Class B *     592,693  
    435,000     Xinhua Winshare Publishing and Media Co Ltd – Class H     264,745  
    194,500     Xtep International Holdings Ltd     82,745  
    730,000     Yuexiu Property Co Ltd     151,742  
    100     Yum China Holdings Inc (a)     5,638  
    1,924,000     Yuzhou Group Holdings Co Ltd     764,696  
    686,000     Zhongsheng Group Holdings Ltd (b)     5,157,833  
    127,000     Zhuzhou Kibing Group Co Ltd – Class A     224,509  
    264,400     Zoomlion Heavy Industry Science and Technology Co Ltd – Class H     276,032  
     

 

 

 
    Total China     262,429,231  
     

 

 

 
          Cyprus — 0.0%      
    16,500     QIWI Plc Sponsored ADR     240,240  
     

 

 

 
          Czech Republic — 0.0%      
    34,220     Moneta Money Bank AS *     101,665  
     

 

 

 
          Denmark — 0.2%      
    93,579     Danske Bank A/S *     1,540,582  
    31,272     Demant A/S *     1,179,709  
    7,316     Matas A/S *     94,439  
    14,843     Pandora A/S     1,488,228  
    20,726     Scandinavian Tobacco Group A/S     318,936  
     

 

 

 
    Total Denmark     4,621,894  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Egypt — 0.0%      
    3,031     Commercial International Bank Egypt SAE     12,077  
     

 

 

 
          Finland — 0.2%      
    2,416     Aktia Bank Oyj *     28,805  
    3,798     Kesko Oyj – B Shares     99,431  
    42,507     Neste Oyj     2,840,329  
    211,793     Nokia Oyj *     844,631  
    6,736     Tokmanni Group Corp     122,504  
    7,932     UPM-Kymmene Oyj     260,267  
    3,342     Uponor Oyj     67,948  
     

 

 

 
    Total Finland     4,263,915  
     

 

 

 
          France — 1.5%      
    1,553     AKWEL     38,204  
    1,984     ALD SA     25,386  
    30,243     APERAM SA (a)     1,149,471  
    14,301     Arkema SA     1,665,447  
    902     Assystem SA     26,826  
    15,147     Atos SE *     1,382,629  
    839     Axway Software SA *     23,414  
    53,501     BNP Paribas SA *     2,723,265  
    721     Boiron SA     32,899  
    680     Bonduelle SCA     16,004  
    683     Christian Dior SE     348,270  
    3,673     Cie de Saint-Gobain *     173,997  
    6,934     Credit Agricole SA *     79,999  
    45,243     Derichebourg SA     177,381  
    3,312     Eiffage SA *     323,806  
    917     Fnac Darty SA *     49,027  
    4,282     Gaztransport Et Technigaz SA     423,214  
    1,371     GL Events * (a)     16,396  
    337     Groupe Crit *     24,373  
    389     HEXAOM *     16,191  
    18,204     IPSOS     581,594  
    2,769     Kaufman & Broad SA     117,796  
    2,720     Kering SA     1,963,760  
    1,757     L’Oreal SA (b)     646,745  
    3,811     LVMH Moet Hennessy Louis Vuitton SE     2,189,022  
    21,950     Metropole Television SA *     344,156  
    1,298     Nexans SA *     81,773  
    149,169     Peugeot SA * (b)     3,499,700  
    38,383     Publicis Groupe SA     1,729,621  
    21,953     Quadient SA     392,436  
    6     Renault SA * (d)     239  
    45,739     Renault SA * (d)     1,815,922  
    1,204     Rothschild & Co *     37,577  
    19,858     Safran SA * (b)     2,894,780  
    25,594     Sanofi     2,579,845  
    355     SEB SA     62,885  
    393     Societe BIC SA     23,262  
    55,482     Societe Generale SA *     1,100,083  
    193     Sopra Steria Group *     29,262  
     Shares     Description       
Value ($)
 
          France — continued      
    17,197     STMicroelectronics NV – NY Shares     681,861  
    695     Synergie SA *     23,545  
    5,603     Television Francaise 1 * (a)     43,304  
    797     TOTAL SE     33,829  
    8,338     Unibail-Rodamco-Westfield (REIT)     586,694  
    30,451     Valeo SA     1,174,794  
    4,488     Vicat SA     182,778  
    369     Vilmorin & Cie SA     21,942  
     

 

 

 
    Total France     31,555,404  
     

 

 

 
          Germany — 1.2%      
    2,523     Allianz SE (Registered)     591,354  
    732     Amadeus Fire AG *     103,707  
    108,343     Aroundtown SA *     749,848  
    9,076     Aurubis AG     689,791  
    28,401     Bayer AG (Registered)     1,636,287  
    7,085     Bayerische Motoren Werke AG     614,762  
    1,204     Bechtle AG     262,838  
    327     bet-at-home.com AG     12,588  
    8,894     Borussia Dortmund GmbH & Co KGaA *     60,265  
    5,606     Brenntag AG     429,298  
    1,732     Carl Zeiss Meditec AG     230,301  
    58,557     CECONOMY AG *     288,473  
    478     Cewe Stiftung & Co KGaA     51,719  
    17,584     CropEnergies AG     291,118  
    32,511     Daimler AG (Registered)     2,176,654  
    113,782     Deutsche Lufthansa AG (Registered) * (a)     1,311,782  
    128,948     Deutsche Pfandbriefbank AG *     1,284,451  
    25,191     Deutz AG *     144,399  
    78,753     Dialog Semiconductor Plc *     4,202,853  
    1,823     Draegerwerk AG & Co KGaA     131,778  
    5,016     DWS Group GmbH & Co KGaA     195,339  
    2,691     Eckert & Ziegler Strahlen- und Medizintechnik AG     138,419  
    2,334     Elmos Semiconductor SE     74,526  
    5,375     Fresenius SE & Co KGaA     240,312  
    4,682     Hamburger Hafen und Logistik AG     102,162  
    41,278     HeidelbergCement AG (b)     2,920,238  
    3,876     Henkel AG & Co KGaA     373,967  
    5,262     Hornbach Baumarkt AG     241,452  
    6,389     Hornbach Holding AG & Co KGaA     680,198  
    1,882     KWS Saat SE & Co KGaA *     142,651  
    3,130     Merck KGaA     499,799  
    6,324     Siemens AG (Registered)     844,093  
    32,517     Software AG (b)     1,396,352  
    22,716     Takkt AG *     292,380  
    1,082     Talanx AG *     39,652  
    17,222     VERBIO Vereinigte BioEnergie AG     534,454  
    4,192     Volkswagen AG     774,851  
     

 

 

 
    Total Germany     24,755,111  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Greece — 0.0%      
    12,055     FF Group (e)      
    15,736     JUMBO SA     279,035  
    8,465     Motor Oil Hellas Corinth Refineries SA     108,144  
     

 

 

 
    Total Greece     387,179  
     

 

 

 
          Hong Kong — 0.8%      
    112,500     BOC Hong Kong Holdings Ltd     366,116  
    28,700     Budweiser Brewing Co APAC Ltd     98,527  
    158,400     Champion (REIT)     94,888  
    142,000     Chow Sang Sang Holdings International Ltd     171,955  
    67,800     Chow Tai Fook Jewellery Group Ltd     88,505  
    1,108,000     CITIC Telecom International Holdings Ltd     368,567  
    218,500     CK Hutchison Holdings Ltd     1,584,916  
    550,000     CSI Properties Ltd     15,445  
    100,500     Dah Sing Banking Group Ltd     107,742  
    133,200     Dah Sing Financial Holdings Ltd     391,921  
    3,736,000     First Pacific Co Ltd     1,140,565  
    730,000     Giordano International Ltd     110,398  
    226,000     HKT Trust & HKT Ltd – Class SS     295,384  
    202,700     Hongkong Land Holdings Ltd     822,850  
    389,000     Johnson Electric Holdings Ltd     916,413  
    113,000     K Wah International Holdings Ltd     56,211  
    34,500     Kerry Logistics Network Ltd     75,625  
    386,500     Kerry Properties Ltd     990,222  
    36,800     Luk Fook Holdings International Ltd     92,977  
    179,000     Pacific Textiles Holdings Ltd     123,340  
    2,151,000     PCCW Ltd     1,305,340  
    848,000     Shun Tak Holdings Ltd     267,545  
    60,500     SmarTone Telecommunications Holdings Ltd     33,485  
    130,000     Sun Hung Kai & Co Ltd     58,154  
    3,000     Sun Hung Kai Properties Ltd     39,877  
    25,000     Swire Pacific Ltd – Class A     143,255  
    180,000     Texwinca Holdings Ltd     35,916  
    132,000     VSTECS Holdings Ltd     110,963  
    252,800     VTech Holdings Ltd     1,947,328  
    3,376,500     WH Group Ltd     2,750,739  
    84,000     Wharf Holdings Ltd (The)     207,792  
    120,000     Xinyi Glass Holdings Ltd     269,123  
    536,500     Yue Yuen Industrial Holdings Ltd     1,101,317  
     

 

 

 
    Total Hong Kong     16,183,401  
     

 

 

 
          Hungary — 0.1%      
    160,693     Magyar Telekom Telecommunications Plc     207,438  
    41,523     Richter Gedeon Nyrt     984,019  
     

 

 

 
    Total Hungary     1,191,457  
     

 

 

 
          India — 1.8%      
    20,481     Asian Paints Ltd     605,373  
    116,190     Aurobindo Pharma Ltd     1,349,795  
    57,974     Bajaj Auto Ltd     2,474,355  
    82,729     Balrampur Chini Mills Ltd     182,613  
     Shares     Description       
Value ($)
 
          India — continued      
    1,269     Bosch Ltd     217,761  
    263,490     Cadila Healthcare Ltd     1,588,934  
    6,868     Cochin Shipyard Ltd     34,291  
    49,305     Dr Reddy’s Laboratories Ltd     3,202,180  
    55,300     Dr Reddy’s Laboratories Ltd ADR     3,627,127  
    69,750     Gujarat Narmada Valley Fertilizers & Chemicals Ltd     196,385  
    740,521     HCL Technologies Ltd     8,184,640  
    17,815     HDFC Bank Ltd *     343,382  
    64,671     Hindalco Industries Ltd     194,721  
    27,502     Hindustan Petroleum Corp Ltd     77,298  
    21,163     Hindustan Unilever Ltd     608,980  
    20,265     Housing Development Finance Corp Ltd     609,714  
    107,289     ICICI Bank Ltd *     685,281  
    459,145     Indiabulls Housing Finance Ltd     1,145,192  
    402,779     Indian Oil Corp Ltd     455,590  
    37,700     Infosys Ltd Sponsored ADR     573,794  
    30,989     Kotak Mahindra Bank Ltd *     784,450  
    50,233     LIC Housing Finance Ltd     222,893  
    4     Muthoot Finance Ltd     62  
    97,804     NTPC Ltd     122,432  
    1,441,278     Oil & Natural Gas Corp Ltd     1,509,794  
    1,724,845     Power Finance Corp Ltd     2,501,041  
    356,414     PTC India Ltd     262,164  
    21,371     Rajesh Exports Ltd *     129,770  
    2,864,952     REC Ltd     4,576,004  
    13,180     Sonata Software Ltd     60,640  
    2     Sun TV Network Ltd     12  
    15,326     Tata Consultancy Services Ltd     550,368  
    22,937     Tata Motors Ltd *     54,556  
    25,137     Titan Co Ltd     449,372  
    124,503     Wipro Ltd     589,058  
     

 

 

 
    Total India     38,170,022  
     

 

 

 
          Indonesia — 0.4%      
    614,300     Astra International Tbk PT     230,009  
    62,700     Bank BTPN Syariah Tbk PT     18,347  
    1,020,400     Bank Central Asia Tbk PT     2,241,149  
    1,602,100     Bank Mandiri Persero Tbk PT     718,575  
    1,384,700     Bank Negara Indonesia Persero Tbk PT     587,202  
    2,588,500     Bank Pembangunan Daerah Jawa Timur Tbk PT     116,430  
    8,108,300     Bank Rakyat Indonesia Persero Tbk PT     2,345,128  
    1,977,600     Bank Tabungan Negara Persero Tbk PT     230,547  
    2,415,700     Bukit Asam Tbk PT     403,468  
    1,680,900     Hanjaya Mandala Sampoerna Tbk PT     181,542  
    223,000     Indah Kiat Pulp & Paper Corp Tbk PT     136,917  
    260,200     Indo Tambangraya Megah Tbk PT     241,396  
    595,800     Matahari Department Store Tbk PT *     53,343  
    1,593,100     Pakuwon Jati Tbk PT *     56,459  
    1,417,500     Panin Financial Tbk PT *     22,462  
    2,660,100     Ramayana Lestari Sentosa Tbk PT     137,409  
    254,000     Unilever Indonesia Tbk PT     138,864  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Indonesia — continued      
    57,200     United Tractors Tbk PT     93,137  
    558,000     XL Axiata Tbk PT     95,239  
     

 

 

 
    Total Indonesia     8,047,623  
     

 

 

 
          Ireland — 0.3%      
    119,693     AIB Group Plc * (a)     214,959  
    179,315     Bank of Ireland Group Plc *     561,813  
    3,941     CRH Plc *     155,012  
    19,400     CRH Plc Sponsored ADR     761,450  
    556     Flutter Entertainment Plc *     101,301  
    9,518     Glanbia Plc     117,056  
    307,199     Hibernia REIT Plc     419,469  
    155,047     Irish Residential Properties REIT Plc     258,103  
    2,732     Kingspan Group Plc *     238,355  
    54,941     Origin Enterprises Plc     234,854  
    32,738     Permanent TSB Group Holdings Plc *     24,375  
    126,930     Ryanair Holdings Plc *     2,313,249  
    41,834     Smurfit Kappa Group Plc (d)     1,779,872  
    2,166     Smurfit Kappa Group Plc (d)     90,864  
    28,153     Total Produce Plc *     47,479  
     

 

 

 
    Total Ireland     7,318,211  
     

 

 

 
          Israel — 0.1%      
    530     Fox Wizel Ltd     45,610  
    23,322     Isracard Ltd     76,038  
    458     Israel Corp Ltd (The) *     78,025  
    477,592     Oil Refineries Ltd *     103,405  
    143,900     Teva Pharmaceutical Industries Ltd Sponsored ADR *     1,368,489  
     

 

 

 
    Total Israel     1,671,567  
     

 

 

 
          Italy — 0.9%      
    63,827     A2A SPA     97,649  
    6,500     ACEA SPA     137,793  
    191,783     Anima Holding SPA     844,567  
    5,369     Biesse SPA *     108,159  
    86,897     Buzzi Unicem SPA (a) (b)     2,126,414  
    5,071     Buzzi Unicem SPA – RSP     83,008  
    15,485     Cementir Holding NV     127,445  
    49,102     CNH Industrial NV *     534,956  
    55,960     Cofide SPA *     31,754  
    22,116     Credito Emiliano SPA *     123,048  
    3,140     De’ Longhi SPA *     109,625  
    1,622     El.En. SPA *     47,948  
    48,977     Enav SPA     215,602  
    303,350     Enel SPA (b)     3,043,456  
    85,106     EXOR NV     5,953,114  
    290,223     Hera SPA     1,057,937  
    93,876     Intesa Sanpaolo SPA *     217,461  
    9,031     La Doria SPA     137,658  
    107,222     Leonardo SPA     778,347  
    1,923     MARR SPA *     36,175  
     Shares     Description       
Value ($)
 
          Italy — continued      
    49,751     Saras SPA * (a)     32,205  
    1,481     Sesa SPA *     148,757  
    1,986,541     Telecom Italia SPA     936,214  
    2,899,579     Telecom Italia SPA – RSP     1,483,101  
    2,463     Unieuro SPA *     37,114  
    97,890     Unipol Gruppo SPA *     472,112  
     

 

 

 
    Total Italy     18,921,619  
     

 

 

 
          Japan — 8.8%      
    12,400     ADEKA Corp     196,075  
    137,500     Aeon Mall Co Ltd     2,197,530  
    6,100     Aichi Corp     54,125  
    14,800     Aida Engineering Ltd     124,815  
    6,000     Altech Corp     119,772  
    264,800     Amada Co Ltd (b)     2,538,267  
    34,700     Amano Corp     813,872  
    6,600     AOKI Holdings Inc     25,816  
    4,600     Arata Corp     218,293  
    21,800     Arcland Sakamoto Co Ltd     373,254  
    61,000     Arcs Co Ltd     1,273,939  
    242,800     Asahi Kasei Corp (b)     2,219,782  
    176,800     Asics Corp (b)     3,177,499  
    214,500     Astellas Pharma Inc (b)     3,055,238  
    3,600     Bando Chemical Industries Ltd     19,784  
    4,400     BeNEXT Group Inc (a)     47,871  
    91,900     Brother Industries Ltd     1,755,394  
    10,800     Bunka Shutter Co Ltd     94,112  
    1,600     Cawachi Ltd     45,845  
    3,400     Central Glass Co Ltd     72,148  
    10,400     Central Japan Railway Co     1,321,746  
    1,600     Chiyoda Integre Co Ltd     23,303  
    149,600     Chugoku Marine Paints Ltd     1,422,002  
    1,200     Cleanup Corp     5,298  
    4,300     CONEXIO Corp     50,661  
    3,700     Credit Saison Co Ltd     42,299  
    5,400     Dai Nippon Toryo Co Ltd     47,755  
    1,500     Dai-Dan Co Ltd     39,854  
    41,900     Daihen Corp     1,814,860  
    1,900     Daiichi Jitsugyo Co Ltd     73,272  
    1,900     Dainichiseika Color & Chemicals Manufacturing Co Ltd     43,408  
    1,600     Daishi Hokuetsu Financial Group Inc     36,055  
    18,700     Daiwa House Industry Co Ltd     571,471  
    5,200     Daiwa Industries Ltd     50,991  
    53,400     Daiwabo Holdings Co Ltd (b)     3,332,771  
    87,000     Denka Co Ltd (b)     2,684,351  
    39,900     Doshisha Co Ltd     765,893  
    4,600     DTS Corp     96,725  
    65,600     Ebara Corp     2,092,208  
    3,200     Ehime Bank Ltd (The)     32,877  
    6,400     Elecom Co Ltd     293,106  
    40,300     Electric Power Development Co Ltd     540,890  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Japan — continued      
    8,500     FAN Communications Inc     33,924  
    59,400     Fuji Corp     1,435,150  
    11,600     Fuji Electric Co Ltd     410,722  
    5,900     Fujimi Inc     205,470  
    1,500     Fujimori Kogyo Co Ltd     67,728  
    5,700     Fujitec Co Ltd     115,979  
    16,400     Fujitsu Ltd     2,268,745  
    2,600     Furuno Electric Co Ltd     29,507  
    3,000     G-7 Holdings Inc     69,776  
    17,200     Geo Holdings Corp     209,177  
    28,900     GungHo Online Entertainment Inc (a)     732,851  
    11,600     Gunma Bank Ltd (The)     35,936  
    23,200     Gunze Ltd     797,260  
    3,600     Hakuto Co Ltd     36,351  
    2,000     Hanwa Co Ltd     47,678  
    275,700     Haseko Corp (b)     2,979,587  
    352,500     Hazama Ando Corp     2,315,560  
    1,800     Heiwado Co Ltd     36,534  
    14,600     Hisamitsu Pharmaceutical Co Inc     856,770  
    89,600     Hitachi Ltd     3,400,656  
    45,100     Hogy Medical Co Ltd     1,363,347  
    67,200     Honda Motor Co Ltd     1,869,633  
    50,100     Horiba Ltd (b)     2,680,294  
    6,500     Inaba Denki Sangyo Co Ltd     148,772  
    93,600     Inabata & Co Ltd     1,232,294  
    262,000     Inpex Corp     1,451,183  
    121,100     ITOCHU Corp     3,195,739  
    16,400     Itochu Enex Co Ltd     157,392  
    5,100     Itochu Techno-Solutions Corp     179,832  
    600     Itochu-Shokuhin Co Ltd     32,327  
    11,600     Itoki Corp     37,528  
    1,600     Jaccs Co Ltd     27,791  
    53,300     JAFCO Group Co Ltd     2,280,886  
    27,800     Japan Post Insurance Co Ltd     462,499  
    7,400     Japan Tobacco Inc (a)     149,792  
    159,300     JVCKenwood Corp     214,981  
    274,300     K’s Holdings Corp (b)     3,330,813  
    104,500     Kadokawa Corp (b)     3,308,161  
    6,800     Kajima Corp     89,212  
    1,700     Kaken Pharmaceutical Co Ltd     62,114  
    3,500     Kamei Corp     39,276  
    47,700     Kanamoto Co Ltd     991,584  
    156,700     Kanematsu Corp     1,804,467  
    2,100     Kanematsu Electronics Ltd     81,306  
    2,600     Kato Sangyo Co Ltd     86,086  
    207,100     KDDI Corp (b)     5,893,313  
    6,200     Keiyo Bank Ltd (The)     27,071  
    390,300     Kenedix Inc (a)     2,810,410  
    64,500     Kinden Corp     1,030,283  
    4,500     Kissei Pharmaceutical Co Ltd     89,931  
    1,600     Kiyo Bank Ltd (The)     24,227  
    8,501     Kohnan Shoji Co Ltd     262,770  
     Shares     Description       
Value ($)
 
          Japan — continued      
    16,201     Komeri Co Ltd     440,435  
    115,074     Konica Minolta Inc     367,518  
    98,600     Konoike Transport Co Ltd     975,959  
    3,700     Kureha Corp     186,980  
    100,100     Kyowa Exeo Corp (b)     2,570,833  
    22,400     Kyudenko Corp     639,232  
    90,300     Macromill Inc     562,367  
    1,000     Makino Milling Machine Co Ltd     40,100  
    65,200     Mandom Corp     1,021,325  
    57,400     Maruichi Steel Tube Ltd     1,206,709  
    2,100     Maruzen Showa Unyu Co Ltd     67,258  
    15,700     Marvelous Inc     136,433  
    2,000     Matsuda Sangyo Co Ltd     32,892  
    127,500     Maxell Holdings Ltd *     1,465,164  
    23,900     MCJ Co Ltd     220,188  
    22,700     Mebuki Financial Group Inc     46,490  
    21,100     Meidensha Corp     365,627  
    300     MEIJI Holdings Co Ltd     21,231  
    9,000     METAWATER Co Ltd     203,862  
    30,100     Mitsubishi Chemical Holdings Corp     165,711  
    2,200     Mitsubishi Electric Corp     32,233  
    66,200     Mitsubishi Gas Chemical Co Inc     1,401,188  
    2,000     Mitsubishi Research Institute Inc     79,567  
    840,200     Mitsubishi UFJ Financial Group Inc     3,585,397  
    4,400     Mitsuboshi Belting Ltd     68,605  
    2,600     Mitsui & Co Ltd     44,177  
    7,700     Mitsui Chemicals Inc     215,265  
    6,200     Mitsui Sugar Co Ltd     105,955  
    28,800     Mixi Inc     786,966  
    4,300     Mizuho Financial Group Inc     54,479  
    6,100     Mizuno Corp     105,430  
    1,400     Mochida Pharmaceutical Co Ltd     53,849  
    88,400     MS&AD Insurance Group Holdings Inc (b)     2,571,672  
    5,100     MTI Ltd     41,127  
    8,800     NEC Corp     474,117  
    19,300     NEC Networks & System Integration Corp     340,836  
    72,900     NH Foods Ltd (b)     3,104,694  
    4,700     Nichias Corp     109,289  
    5,500     Nichiha Corp     171,490  
    46,700     Nikkon Holdings Co Ltd     906,231  
    16,500     Nippo Corp     430,081  
    3,000     Nippon Flour Mills Co Ltd     46,702  
    3,100     Nippon Kayaku Co Ltd     27,067  
    21,500     Nippon Light Metal Holdings Co Ltd     367,125  
    4,700     Nippon Soda Co Ltd     123,150  
    213,100     Nippon Telegraph & Telephone Corp     5,039,870  
    2,600     Nishimatsu Construction Co Ltd     48,300  
    1,500     Nishio Rent All Co Ltd     29,150  
    1,500     Nissin Corp     17,455  
    21,400     Nissin Electric Co Ltd     238,935  
    600     Nitori Holdings Co Ltd     127,570  
    9,000     Nojima Corp     234,877  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Japan — continued      
    35,900     Nomura Real Estate Holdings Inc     771,643  
    4,000     NS Solutions Corp     118,171  
    2,800     Obara Group Inc (a)     90,694  
    422,000     Obayashi Corp (b)     3,714,516  
    11,900     Okamura Corp     106,323  
    600     Okinawa Cellular Telephone Co     24,937  
    3,900     Organo Corp (a)     220,979  
    334,400     ORIX Corp (b)     4,949,578  
    4,200     Osaka Soda Co Ltd     98,290  
    800     Otsuka Corp     38,795  
    111,000     Pacific Industrial Co Ltd     1,136,017  
    6,100     Panasonic Corp     64,694  
    200     Paramount Bed Holdings Co Ltd     8,136  
    123,800     Penta-Ocean Construction Co Ltd     918,758  
    4,300     Prima Meat Packers Ltd     119,263  
    5,700     Proto Corp     57,336  
    80,300     Raiznext Corp     855,347  
    13,700     Resona Holdings Inc     47,753  
    3,500     Rinnai Corp     408,353  
    900     Rion Co Ltd     27,562  
    13,700     Rohm Co Ltd     1,139,181  
    3,200     Roland DG Corp     52,225  
    1,300     Ryobi Ltd     15,097  
    23,500     San-A Co Ltd     908,793  
    9,200     San-Ai Oil Co Ltd     101,634  
    11,200     San-In Godo Bank Ltd (The)     58,293  
    15,300     Sanki Engineering Co Ltd     168,170  
    8,300     Sanwa Holdings Corp     100,818  
    3,800     Sanyo Chemical Industries Ltd     163,064  
    29,200     Secom Co Ltd (b)     2,913,944  
    4,900     Seiko Holdings Corp     62,983  
    30,400     Sekisui Chemical Co Ltd (b)     524,044  
    74,100     Sekisui House Ltd     1,328,697  
    4,300     Sekisui Jushi Corp     90,444  
    384,500     Shimizu Corp (b)     2,907,860  
    1,300     Shindengen Electric Manufacturing Co Ltd     29,048  
    6,600     Shizuoka Gas Co Ltd     62,573  
    800     Sinanen Holdings Co Ltd     22,674  
    9,100     Sinko Industries Ltd     149,251  
    7,400     Sintokogio Ltd     50,411  
    348,700     SKY Perfect JSAT Holdings Inc     1,577,598  
    147,200     Sojitz Corp     321,484  
    482,500     Sumitomo Chemical Co Ltd     1,704,611  
    164,700     Sumitomo Dainippon Pharma Co Ltd (a)     2,076,978  
    164,200     Sumitomo Forestry Co Ltd (b)     2,973,150  
    3,500     Sumitomo Mitsui Financial Group Inc     100,634  
    2,300     Sumitomo Seika Chemicals Co Ltd     91,253  
    1,200     Sushiro Global Holdings Ltd     38,262  
    5,700     Suzuki Motor Corp     305,680  
    64,600     T Hasegawa Co Ltd     1,241,767  
    2,700     T&D Holdings Inc     31,433  
    4,000     T-Gaia Corp     70,424  
     Shares     Description       
Value ($)
 
          Japan — continued      
    77,800     Tachi-S Co Ltd     835,863  
    22,300     Taisei Corp     784,510  
    109,500     Takara Holdings Inc     1,252,946  
    49,700     Takara Leben Co Ltd     140,198  
    16,500     Takasago Thermal Engineering Co Ltd     226,534  
    15,200     Takeuchi Manufacturing Co Ltd     356,609  
    73,900     Takuma Co Ltd     1,265,566  
    9,000     Tamron Co Ltd     137,332  
    5,100     Tanseisha Co Ltd     36,983  
    65,400     Teijin Ltd     1,115,211  
    45,800     TIS Inc     909,566  
    2,100     TKC Corp     139,409  
    92,100     Toho Holdings Co Ltd     1,679,677  
    522,800     Tokyo Electric Power Co Holdings Inc *     1,360,732  
    63,600     Tokyo Seimitsu Co Ltd     2,797,246  
    42,100     Tokyu Construction Co Ltd     188,700  
    9,100     TOMONY Holdings Inc     29,056  
    19,100     Toppan Forms Co Ltd     181,857  
    262,000     Toppan Printing Co Ltd (b)     3,566,980  
    1,300     Torii Pharmaceutical Co Ltd     39,328  
    115,200     Tosei Corp (a)     1,277,310  
    182,400     Tosoh Corp (b)     2,856,658  
    2,200     Towa Pharmaceutical Co Ltd     40,098  
    40,300     Toyo Construction Co Ltd     153,404  
    28,300     Toyo Suisan Kaisha Ltd     1,391,961  
    50,600     Toyota Industries Corp (b)     3,646,492  
    2,200     TPR Co Ltd     27,520  
    9,500     TS Tech Co Ltd (b)     277,868  
    37,600     Tsumura & Co     1,094,121  
    2,500     UKC Holdings Corp     53,747  
    10,800     Ushio Inc     135,480  
    1,600     Valqua Ltd     28,555  
    5,300     Wacoal Holdings Corp     101,341  
    16,500     YAMABIKO Corp     223,077  
    19,700     Yamaguchi Financial Group Inc     122,169  
    4,800     Yamazen Corp     45,637  
    14,000     Yellow Hat Ltd     215,553  
    173,200     Yokogawa Electric Corp (b)     3,051,531  
    5,500     Yuasa Trading Co Ltd     172,335  
    59,100     Zenkoku Hosho Co Ltd (b)     2,696,972  
     

 

 

 
    Total Japan     186,840,820  
     

 

 

 
          Kuwait — 0.1%      
    7,476     Gulf Cable & Electrical Industries Co KSCP     17,568  
    7,969     Humansoft Holding Co KSC *     88,695  
    494,218     Kuwait Finance House KSCP     1,102,275  
    38,023     Kuwait Projects Co Holding KSCP     18,473  
    35,730     Mobile Telecommunications Co KSC     67,960  
    234,620     National Bank of Kuwait SAKP     646,124  
     

 

 

 
    Total Kuwait     1,941,095  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Malaysia — 0.1%      
    5,600     Carlsberg Brewery Malaysia Berhad     26,447  
    1,025,100     DRB-Hicom Berhad     500,350  
    18,000     Hartalega Holdings Berhad     63,550  
    227,700     Kossan Rubber Industries     350,244  
    299,946     Magnum Berhad     159,819  
    85,000     Pharmaniaga Berhad     114,718  
    87,300     Syarikat Takaful Malaysia Keluarga Berhad     100,714  
    98,700     Westports Holdings Berhad     104,116  
    194,400     YTL Corp Berhad *     30,778  
     

 

 

 
    Total Malaysia     1,450,736  
     

 

 

 
          Mexico — 1.1%      
    822,500     America Movil SAB de CV – Series L     614,120  
    162,100     Arca Continental SAB de CV     796,374  
    87,100     Banco del Bajio SA *     108,604  
    206,600     Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santander Mexico     214,878  
    95,800     Cemex SAB de CV Sponsored ADR     440,680  
    27,500     Corp Inmobiliaria Vesta SAB de CV     49,257  
    122,700     Credito Real SAB de CV SOFOM ER *     69,333  
    81,100     El Puerto de Liverpool SAB de CV – Class C1 *     269,822  
    407,700     Fibra Uno Administracion SA de CV (REIT)     406,888  
    259,800     Fomento Economico Mexicano SAB de CV     1,876,810  
    421,300     Gentera SAB de CV *     181,359  
    100,600     Grupo Aeroportuario del Centro Norte SAB de CV *     585,125  
    1,500     Grupo Aeroportuario del Centro Norte SAB de CV ADR *     69,840  
    600     Grupo Aeroportuario del Sureste SAB de CV ADR *     89,700  
    662,700     Grupo Financiero Banorte SAB de CV – Class O *     3,299,687  
    95,800     Grupo Financiero Inbursa SAB de CV – Class O *     93,381  
    95,842     Grupo Herdez SAB de CV     187,983  
    1,365,200     Grupo Mexico SAB de CV – Series B     4,964,916  
    34,500     Kimberly-Clark de Mexico SAB de CV – Class A     54,694  
    199,000     Nemak SAB de CV     64,298  
    3,820     Promotora y Operadora de Infraestructura SAB de CV     30,562  
    36,100     Qualitas Controladora SAB de CV     175,354  
    38,100     Regional SAB de CV *     162,465  
    24,649     Unifin Financiera SAB de CV SOFOM ENR *     30,588  
    3,296,138     Wal-Mart de Mexico SAB de CV     8,676,515  
     

 

 

 
    Total Mexico     23,513,233  
     

 

 

 
          Netherlands — 1.2%      
    72,248     ABN AMRO Bank NV CVA *     739,625  
    240,495     Aegon NV     889,661  
    39,000     AerCap Holdings NV *     1,433,640  
    427     ASM International NV     75,285  
    82,297     ASR Nederland NV (b)     3,049,781  
    1,624     Flow Traders     52,275  
    11,846     ForFarmers NV     75,978  
    6,778     Heineken Holding NV     624,475  
     Shares     Description       
Value ($)
 
          Netherlands — continued      
    282     Hunter Douglas NV *     18,260  
    185,082     ING Groep NV *     1,800,240  
    118,308     Koninklijke Ahold Delhaize NV     3,382,580  
    19,817     Koninklijke Vopak NV     1,039,140  
    44,556     NIBC Holding NV *     395,069  
    5,733     NN Group NV     231,699  
    47,613     PostNL NV *     162,154  
    73,208     Randstad NV * (b)     4,527,794  
    110,707     Signify NV * (b)     4,666,497  
    26,280     Wolters Kluwer NV     2,200,120  
     

 

 

 
    Total Netherlands     25,364,273  
     

 

 

 
          New Zealand — 0.1%      
    20,285     Air New Zealand Ltd *     25,883  
    346,877     Meridian Energy Ltd     1,564,787  
     

 

 

 
    Total New Zealand     1,590,670  
     

 

 

 
          Norway — 0.5%      
    17,705     Austevoll Seafood ASA     161,001  
    10,158     Avance Gas Holding Ltd (a)     45,874  
    17,334     Borregaard ASA     254,958  
    194,136     BW LPG Ltd     1,239,743  
    109,879     DNB ASA *     1,981,254  
    198,295     Elkem ASA     637,567  
    7,536     Entra ASA (a)     150,188  
    71,926     Europris ASA     388,789  
    13,785     Gjensidige Forsikring ASA     300,152  
    50,979     Kvaerner ASA *     83,094  
    40,869     Norsk Hydro ASA     165,489  
    70,121     Norwegian Finans Holding ASA *     557,649  
    169,186     Orkla ASA     1,619,427  
    76     Salmar ASA *     4,154  
    19,122     Sbanken ASA *     152,920  
    20,680     Selvaag Bolig ASA     120,564  
    26,396     SpareBank 1 Nord Norge     216,596  
    19,287     SpareBank 1 SMN     206,470  
    58,375     SpareBank 1 SR-Bank ASA *     582,260  
    15,202     Wallenius Wilhelmsen ASA *     36,326  
    29,786     Yara International ASA     1,207,336  
     

 

 

 
    Total Norway     10,111,811  
     

 

 

 
          Pakistan — 0.0%      
    34,810     Engro Corp Ltd     66,496  
    387,294     Engro Fertilizers Ltd     147,194  
    37,019     Fauji Fertilizer Co Ltd     23,967  
    337,928     Oil & Gas Development Co Ltd     207,672  
    45,809     Pakistan Oilfields Ltd     112,956  
    236,209     Pakistan Petroleum Ltd     133,451  
    23,700     Pakistan State Oil Co Ltd *     29,590  
    47,700     Searle Co Ltd (The)     69,687  
    67,270     United Bank Ltd     50,892  
     

 

 

 
    Total Pakistan     841,905  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Philippines — 0.0%      
    10,240     Globe Telecom Inc     414,402  
    14,660     Manila Electric Co     85,712  
    2,369,000     Megaworld Corp *     189,028  
    2,145,000     Metro Pacific Investments Corp     182,660  
    125,000     Robinsons Land Corp     43,354  
    15,810     Security Bank Corp     41,023  
    135,050     Semirara Mining & Power Corp     34,795  
     

 

 

 
    Total Philippines     990,974  
     

 

 

 
          Poland — 0.4%      
    20,978     Asseco Poland SA     370,866  
    3,461     Budimex SA     253,001  
    109,530     Cyfrowy Polsat SA     780,124  
    20,639     Grupa Lotos SA     190,642  
    2,883     KGHM Polska Miedz SA *     114,783  
    2,407     mBank SA *     97,091  
    209,920     Polski Koncern Naftowy ORLEN SA     3,100,042  
    843,681     Polskie Gornictwo Naftowe i Gazownictwo SA     1,077,064  
    272,864     Powszechny Zaklad Ubezpieczen SA *     1,830,435  
    1,911     Santander Bank Polska SA *     88,904  
     

 

 

 
    Total Poland     7,902,952  
     

 

 

 
          Portugal — 0.5%      
    113,141     Altri SGPS SA     609,697  
    6,453,793     Banco Comercial Portugues SA – Class R * (a)     913,447  
    113,256     CTT-Correios de Portugal SA * (a)     329,536  
    25,308     EDP Renovaveis SA     536,398  
    420,138     EDP – Energias de Portugal SA     2,245,747  
    200,351     Galp Energia SGPS SA     2,149,520  
    56,156     Jeronimo Martins SGPS SA     962,206  
    118,662     Mota-Engil SGPS SA * (a)     206,410  
    172,750     Navigator Co SA (The) *     515,086  
    70,621     NOS SGPS SA     270,053  
    140,247     REN – Redes Energeticas Nacionais SGPS SA     384,598  
    11,271     Semapa-Sociedade de Investimento e Gestao     120,667  
    598,195     Sonae SGPS SA     481,803  
     

 

 

 
    Total Portugal     9,725,168  
     

 

 

 
          Qatar — 0.0%      
    114,022     Doha Bank QPSC *     73,273  
    34,104     Masraf Al Rayan QSC     40,009  
    52,125     Ooredoo QPSC     96,685  
    8,101     Qatar Electricity & Water Co QSC     40,070  
    31,879     Qatar Insurance Co SAQ     22,189  
    142,157     Qatar National Bank QPSC     690,013  
    45,376     Qatar National Cement Co QSC     50,692  
     

 

 

 
    Total Qatar     1,012,931  
     

 

 

 
          Russia — 3.1%      
    2,078,850     Alrosa PJSC     2,397,552  
    931,600     Credit Bank of Moscow PJSC *     73,130  
     Shares     Description       
Value ($)
 
          Russia — continued      
    72,810     Detsky Mir PJSC     133,890  
    68,070,000     Federal Grid Co Unified Energy System PJSC     178,540  
    30,390     Gazprom Neft PJSC     125,678  
    2,752     Gazprom Neft PJSC Sponsored ADR     55,580  
    1,040,380     Gazprom PJSC     2,482,899  
    25,637     Globaltrans Investment Plc Sponsored GDR (Registered)     146,709  
    71,237,001     Inter RAO UES PJSC     4,784,106  
    2,687     LSR Group PJSC     31,986  
    66,217     LSR Group PJSC GDR (Registered)     155,561  
    119,488     LUKOIL PJSC     7,910,484  
    161,136     LUKOIL PJSC Sponsored ADR     10,373,155  
    25,860     M.Video PJSC     244,309  
    922,400     Magnitogorsk Iron & Steel Works PJSC     507,769  
    34,180     Magnitogorsk Iron & Steel Works PJSC Sponsored GDR (Registered)     234,546  
    211,785     MMC Norilsk Nickel PJSC ADR     5,873,571  
    103,100     Mobile TeleSystems PJSC Sponsored ADR     889,753  
    978,010     Moscow Exchange MICEX-RTS PJSC     1,962,884  
    15,595     Novatek PJSC Sponsered GDR (Registered)     2,399,412  
    105,010     Novolipetsk Steel PJSC     264,747  
    117,261     Novolipetsk Steel PJSC GDR     2,900,999  
    14,642     PhosAgro PJSC GDR (Registered)     187,020  
    140,017     Polymetal International Plc     2,916,894  
    1,692     Polyus PJSC     322,985  
    16,490     Polyus PJSC GDR (Registered)     1,559,966  
    81,350     Raspadskaya OJSC     155,792  
    54,687,000     ROSSETI PJSC     1,208,133  
    13,580     Safmar Financial Investment *     83,546  
    1,345,390     Sberbank of Russia PJSC     4,378,908  
    285,446     Sberbank of Russia PJSC Sponsored ADR     3,765,484  
    50,205     Severstal PJSC GDR (Registered)     730,044  
    3,081,600     Surgutneftegas PJSC     1,423,463  
    283,564     Surgutneftegas PJSC Sponsored ADR     1,273,594  
    71,676     Tatneft PJSC Sponsored ADR     2,702,944  
    18,944     TCS Group Holding Plc GDR (Registered)     581,137  
    3,313,000     Unipro PJSC     120,276  
    345,563     VTB Bank PJSC GDR (Registered)     316,635  
    2,667     X5 Retail Group NV GDR (Registered)     95,441  
    4,400     Yandex NV – Class A * (a)     303,424  
     

 

 

 
    Total Russia     66,252,946  
     

 

 

 
          Saudi Arabia — 0.0%      
    7,743     Al Rajhi Bank     154,293  
    2,781     Arriyadh Development Co     13,072  
     

 

 

 
    Total Saudi Arabia     167,365  
     

 

 

 
          Singapore — 0.7%      
    85,000     AEM Holdings Ltd     222,101  
    243,500     Asian Pay Television Trust     21,783  
    17,856     CapitaLand Integrated Commercial Trust (REIT)     25,726  
    28,400     CapitaLand Ltd     65,747  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Singapore — continued      
    68,200     City Developments Ltd     392,526  
    554,800     ComfortDelGro Corp Ltd     678,723  
    200,200     DBS Group Holdings Ltd     3,734,849  
    187,200     First Real Estate Investment Trust     59,137  
    291,940     Japfa Ltd     161,572  
    57,500     Jardine Cycle & Carriage Ltd     827,014  
    78,000     Lendlease Global Commercial (REIT)     39,400  
    516,800     Mapletree Industrial Trust (REIT)     1,128,384  
    166,600     Mapletree Logistics Trust (REIT)     243,761  
    601,300     Mapletree North Asia Commercial Trust (REIT)     401,165  
    5,600     Oversea-Chinese Banking Corp Ltd     41,751  
    200,900     Sasseur Real Estate Investment Trust     121,028  
    349,500     Silverlake Axis Ltd     68,885  
    65,200     Singapore Exchange Ltd     429,903  
    242,400     StarHub Ltd     232,844  
    7,200     United Overseas Bank Ltd     119,754  
    46,900     Venture Corp Ltd     654,597  
    50,800     Wilmar International Ltd     158,135  
    6,426,099     Yangzijiang Shipbuilding Holdings Ltd     4,175,802  
    338,000     Yanlord Land Group Ltd     279,041  
     

 

 

 
    Total Singapore     14,283,628  
     

 

 

 
          South Africa — 1.7%      
    680,401     Absa Group Ltd     4,812,076  
    5,100     Anglo American Platinum Ltd     369,932  
    3,528     AngloGold Ashanti Ltd     75,659  
    11,100     AngloGold Ashanti Ltd Sponsored ADR     240,537  
    145,089     Aspen Pharmacare Holdings Ltd *     1,152,280  
    51,903     Astral Foods Ltd     450,534  
    16,003     AVI Ltd     73,373  
    186,538     Barloworld Ltd     838,576  
    134,447     Bidvest Group Ltd (The)     1,409,464  
    357,441     Blue Label Telecoms Ltd *     90,787  
    14,823     Clicks Group Ltd     223,818  
    27,759     Discovery Ltd     219,885  
    70,429     Emira Property Fund Ltd (REIT)     29,608  
    183,332     FirstRand Ltd     537,688  
    9,641     Foschini Group Ltd (The)     61,016  
    6,046     Gold Fields Ltd     52,425  
    54,900     Gold Fields Ltd Sponsored ADR     478,179  
    420,210     Growthpoint Properties Ltd (REIT)     322,673  
    14,493     Hyprop Investments Ltd (REIT) *     26,349  
    110,996     Imperial Logistics Ltd     276,887  
    74,376     Investec Ltd     180,534  
    114,604     Kumba Iron Ore Ltd     3,895,136  
    57,204     Lewis Group Ltd     81,288  
    3,831     Liberty Holdings Ltd     14,712  
    186,581     Life Healthcare Group Holdings Ltd     190,723  
    31,586     Metair Investments Ltd *     35,280  
    186,104     Momentum Metropolitan Holdings     187,110  
    194,551     Motus Holdings Ltd *     722,508  
    61,453     Mr Price Group Ltd     642,513  
     Shares     Description       
Value ($)
 
          South Africa — continued      
    51,205     Naspers Ltd – N Shares     10,294,097  
    220,717     Netcare Ltd     175,462  
    2,075,278     Old Mutual Ltd     1,558,773  
    154,753     Pepkor Holdings Ltd     137,902  
    23,027     Rand Merchant Investment Holdings Ltd     45,088  
    30,943     Raubex Group Ltd     49,406  
    21,911     Remgro Ltd     129,388  
    153,824     Reunert Ltd     357,589  
    1,640,950     RMB Holdings Ltd *     135,051  
    583,478     Sanlam Ltd     2,078,615  
    118,057     Sappi Ltd *     220,261  
    15,419     Shoprite Holdings Ltd     127,514  
    790,096     Telkom SA SOC Ltd     1,605,328  
    6,843     Tiger Brands Ltd     86,692  
    245,509     Truworths International Ltd     566,393  
    90,743     Tsogo Sun Gaming Ltd     30,115  
    88,185     Vodacom Group Ltd     699,851  
    31,788     Wilson Bayly Holmes-Ovcon Ltd *     207,956  
     

 

 

 
    Total South Africa     36,197,031  
     

 

 

 
          South Korea — 2.7%      
    26,266     Aekyung Petrochemical Co Ltd     224,027  
    9,409     Aju Capital Co Ltd     107,976  
    37,079     BNK Financial Group Inc     188,654  
    4,207     Com2uSCorp     510,654  
    5,533     Daou Data Corp     62,791  
    36,872     DB HiTek Co Ltd     1,184,112  
    6,974     DB Insurance Co Ltd     277,300  
    34,093     Dongwon Development Co Ltd     135,971  
    1,186     Doosan Fuel Cell Co Ltd *     53,463  
    7,678     DoubleUGames Co Ltd     407,038  
    6,093     GS Home Shopping Inc     756,439  
    333,719     Hana Financial Group Inc     10,142,963  
    20,338     Hankook Tire & Technology Co Ltd     602,018  
    5,598     HDC Hyundai Development Co-Engineering & Construction     101,525  
    2,310     Huons Co Ltd     130,914  
    2,997     Hy-Lok Corp     37,150  
    9,888     Hyundai Home Shopping Network Corp     652,352  
    8,888     Hyundai Mobis Co Ltd     1,962,016  
    2,924     JNTC Co Ltd *     29,803  
    65,124     KB Financial Group Inc     2,692,236  
    5,900     KB Financial Group Inc ADR     245,381  
    7,907     KC Co Ltd     178,195  
    915     KEPCO Plant Service & Engineering Co Ltd     24,008  
    205,125     Kia Motors Corp     10,728,911  
    17,594     Korea Asset In Trust Co Ltd     62,983  
    17,380     Korea Autoglass Corp     259,212  
    16,811     Korean Reinsurance Co     117,639  
    5,306     KT Skylife Co Ltd     43,076  
    57,381     KT&G Corp     4,281,934  
    33,545     LF Corp     446,282  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          South Korea — continued      
    53,316     LG Electronics Inc     4,121,480  
    1,071     LOTTE Fine Chemical Co Ltd     53,224  
    21,590     Mirae Asset Life Insurance Co Ltd     76,974  
    305     NCSoft Corp     224,111  
    1,330     NHN KCP Corp     80,458  
    10,410     Posco International Corp     125,121  
    15,582     S&T Motiv Co Ltd     700,156  
    23,517     Samjin Pharmaceutical Co Ltd     612,176  
    6,058     Sebang Global Battery Co Ltd     240,618  
    1,033     SFA Engineering Corp     35,060  
    224,794     Shinhan Financial Group Co Ltd     6,619,271  
    10,504     SK Telecom Co Ltd     2,247,766  
    89,000     SK Telecom Co Ltd Sponsored ADR     2,092,390  
    6,106     SL Corp     91,101  
    2,817     Soulbrain Holdings Co Ltd     109,956  
    124,947     Woori Financial Group Inc     1,105,153  
    37,129     Yuhan Corp     2,162,475  
     

 

 

 
    Total South Korea     57,344,513  
     

 

 

 
          Spain — 1.1%      
    7,877     Acerinox SA     81,627  
    66,177     ACS Actividades de Construccion y Servicios SA *     2,090,727  
    7,747     Aena SME SA * (b)     1,262,049  
    40,927     Almirall SA     526,415  
    30,966     Amadeus IT Group SA     2,129,359  
    19,105     Atresmedia Corp de Medios de Comunicacion SA     67,724  
    277,532     Banco Bilbao Vizcaya Argentaria SA     1,285,133  
    975,699     Banco Santander SA *     2,829,642  
    6,641     Bankinter SA     32,933  
    42,846     CaixaBank SA     109,607  
    46,250     Cia de Distribucion Integral Logista Holdings SA     852,879  
    8,583     Ebro Foods SA     203,124  
    10,080     eDreams ODIGEO SA * (a)     45,195  
    4,606     Enagas SA     112,528  
    90,553     Endesa SA (b)     2,602,726  
    39,814     Faes Farma SA     178,589  
    1,415     Grupo Catalana Occidente SA     46,187  
    186,433     Iberdrola SA (b)     2,559,298  
    67,304     Industria de Diseno Textil SA     2,234,114  
    181,965     Mediaset Espana Comunicacion SA *     820,175  
    129,166     Red Electrica Corp SA     2,640,550  
    7,472     Repsol SA     71,617  
    594,033     Unicaja Banco SA *     468,040  
    16,942     Viscofan SA     1,200,715  
     

 

 

 
    Total Spain     24,450,953  
     

 

 

 
          Sweden — 0.3%      
    99,489     Betsson AB *     858,309  
    1,725     Bufab AB *     32,595  
    7,410     Humana AB *     46,716  
    4,040     Instalco Intressenter AB     103,962  
     Shares     Description       
Value ($)
 
          Sweden — continued      
    43,509     Inwido AB *     533,363  
    1,701     KNOW IT AB *     53,635  
    11,243     Nobina AB *     75,985  
    155,088     Nordea Bank Abp *     1,325,450  
    13,908     Skanska AB – B Shares     330,467  
    13,020     Swedish Match AB     1,053,342  
    10,962     Volvo AB – A Shares *     251,959  
    88,175     Volvo AB – B Shares *     2,008,327  
     

 

 

 
    Total Sweden     6,674,110  
     

 

 

 
          Switzerland — 0.5%      
    14,328     ABB Ltd (Registered)     378,943  
    23,274     Adecco Group AG (Registered)     1,406,961  
    849     ALSO Holding AG (Registered) *     222,195  
    5,812     ams AG *     148,974  
    10,270     Banque Cantonale Vaudoise (Registered)     1,057,559  
    2,798     BKW AG     289,519  
    1,381     Bobst Group SA (Registered)     80,274  
    316     Coltene Holding AG (Registered) *     25,796  
    1,058     Huber + Suhner AG (Registered)     86,101  
    687     Kardex Holding AG (Registered)     135,320  
    403     Liechtensteinische Landesbank AG     24,322  
    1,049     Logitech International SA (Registered)     93,492  
    2,853     Mobilezone Holding AG (Registered)     30,490  
    16,945     Novartis AG (Registered)     1,534,124  
    1,629     Roche Holding AG     541,510  
    10,422     Roche Holding AG – Genusschein     3,423,073  
    2,434     UBS Group AG (Registered)     34,524  
    2,100     Vetropack Holding AG (Registered) *     136,902  
    1,148     Wizz Air Holdings Plc *     68,741  
    1,469     Zehnder Group AG – Class RG     79,794  
     

 

 

 
    Total Switzerland     9,798,614  
     

 

 

 
          Taiwan — 4.5%      
    1,000     Accton Technology Corp     8,386  
    5,000     Acter Group Corp Ltd     33,945  
    83,000     Alchip Technologies Ltd     1,945,921  
    62,333     Amazing Microelectronic Corp     201,200  
    702,035     Asustek Computer Inc     6,123,598  
    19,000     Aten International Co Ltd     55,494  
    8,400     Aurora Corp     25,523  
    655,000     Catcher Technology Co Ltd     4,323,019  
    719,399     Cathay Financial Holding Co Ltd     1,019,614  
    145,430     Chailease Holding Co Ltd     797,847  
    454,000     Chicony Electronics Co Ltd     1,359,462  
    627,000     China Development Financial Holding Corp     196,361  
    106,000     China Motor Corp *     178,849  
    29,000     Chong Hong Construction Co Ltd     84,461  
    607,000     Coretronic Corp     747,980  
    2,270,000     CTBC Financial Holding Co Ltd     1,526,834  
    12,000     Delta Electronics Inc     94,603  
    85,000     Elan Microelectronics Corp     393,912  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Taiwan — continued      
    8,000     Elite Advanced Laser Corp     19,605  
    149,000     Elite Material Co Ltd     815,777  
    422,000     Eva Airways Corp     187,292  
    97,000     Farglory Land Development Co Ltd     177,750  
    429,000     FLEXium Interconnect Inc     1,807,720  
    320,000     Formosa Taffeta Co Ltd     344,015  
    251,000     Foxconn Technology Co Ltd     463,218  
    1,288,000     Fubon Financial Holding Co Ltd     2,002,014  
    19,000     Fusheng Precision Co Ltd     114,009  
    25,000     Getac Technology Corp     42,225  
    388,000     Gigabyte Technology Co Ltd     1,068,566  
    6,000     Globalwafers Co Ltd     117,353  
    1,522,000     Grand Pacific Petrochemical *     1,250,385  
    10,303     Great Wall Enterprise Co Ltd     16,748  
    66,000     Holiday Entertainment Co Ltd     146,681  
    6,537,318     Hon Hai Precision Industry Co Ltd     18,872,282  
    78,000     Huaku Development Co Ltd     241,594  
    59,439     IBF Financial Holdings Co Ltd     25,042  
    62,820     IEI Integration Corp     106,153  
    32,721     Innodisk Corp     187,381  
    56,000     International Games System Co Ltd     1,335,090  
    294,000     Lite-On Technology Corp     495,452  
    12,000     Lotes Co Ltd     187,448  
    26,300     Makalot Industrial Co Ltd     170,428  
    135,000     Merry Electronics Co Ltd     670,807  
    172,000     Micro-Star International Co Ltd     753,314  
    1,519,817     Mitac Holdings Corp     1,572,499  
    5,000     Nan Liu Enterprise Co Ltd     33,858  
    48,000     Nantex Industry Co Ltd     103,483  
    42,000     Nichidenbo Corp     70,487  
    17,000     Nien Made Enterprise Co Ltd     200,658  
    366,000     Novatek Microelectronics Corp     3,841,468  
    1,000     Parade Technologies Ltd     36,345  
    1,889,000     Pegatron Corp     4,321,942  
    10,000     Phison Electronics Corp     113,311  
    3,000     Pixart Imaging Inc     20,779  
    3,027,000     Pou Chen Corp     3,315,559  
    1,120,000     Qisda Corp     922,872  
    412,000     Quanta Computer Inc     1,112,085  
    1,282,000     Radiant Opto-Electronics Corp     5,221,311  
    1,000     Realtek Semiconductor Corp     12,999  
    203,000     Ruentex Development Co Ltd     299,670  
    72,000     Sampo Corp     67,841  
    87,000     Shinkong Insurance Co Ltd     118,832  
    101,800     Simplo Technology Co Ltd     1,183,638  
    25,945     Sinmag Equipment Corp     79,232  
    11,000     Sitronix Technology Corp     54,064  
    19,000     Soft-World International Corp     60,214  
    146,000     Sunplus Technology Co Ltd *     79,909  
    128,500     Syncmold Enterprise Corp     390,158  
    19,000     Taiwan Cement Corp     28,594  
    467,000     Taiwan PCB Techvest Co Ltd     747,637  
     Shares     Description       
Value ($)
 
          Taiwan — continued      
    75,000     Taiwan Sakura Corp     133,239  
    903,000     Taiwan Semiconductor Manufacturing Co Ltd     15,370,712  
    23,685     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR (a)     2,297,919  
    70,000     Teco Electric and Machinery Co Ltd     72,580  
    23,000     Test Research Inc     45,732  
    7,000     Thinking Electronic Industrial Co Ltd     35,877  
    152,246     TOPBI International Holdings Ltd     168,378  
    62,419     Topco Scientific Co Ltd     266,139  
    58,000     Transcend Information Inc     131,373  
    111,000     Tripod Technology Corp     477,408  
    9,000     TXC Corp     25,285  
    64,624     United Integrated Services Co Ltd     518,464  
    551,000     United Microelectronics Corp     782,718  
    27,000     Universal Inc     100,993  
    7,000     Vanguard International Semiconductor Corp     25,787  
    27,000     Wah Lee Industrial Corp     73,236  
    354,000     Wistron Corp     370,266  
    11,000     Wiwynn Corp     263,417  
    6,000     Yulon Nissan Motor Co Ltd     55,075  
    33,000     Zeng Hsing Industrial Co Ltd     160,909  
     

 

 

 
    Total Taiwan     96,120,310  
     

 

 

 
          Thailand — 0.1%      
    1,284,900     AP Thailand Pcl NVDR     297,160  
    104,500     Bangkok Bank Pcl NVDR     407,723  
    1,661,100     Beauty Community Pcl NVDR *     84,537  
    11,200     Carabao Group Pcl NVDR     44,652  
    30,500     Hana Microelectronics Pcl NVDR     43,080  
    2,050,900     IRPC Pcl NVDR     184,412  
    21,300     KCE Electronics Pcl NVDR     28,322  
    49,600     Kiatnakin Phatra Bank Pcl NVDR     80,995  
    148,900     Krung Thai Bank Pcl NVDR     52,560  
    108,100     Land & Houses Pcl NVDR     28,051  
    193,900     Origin Property Pcl NVDR     49,676  
    167,600     Pruksa Holding Pcl NVDR     69,276  
    909,500     Quality Houses Pcl NVDR     69,729  
    83,400     Siam Commercial Bank Pcl NVDR (The)     235,332  
    141,300     Somboon Advance Technology Pcl NVDR     67,105  
    60,200     SPCG Pcl NVDR     42,776  
    74,250     Supalai Pcl (Foreign Registered)     43,921  
    344,875     Supalai Pcl NVDR     204,005  
    1,480,300     Thai Beverage Pcl (a)     814,855  
    52,000     Thai Vegetable Oil Pcl NVDR     55,884  
    5,118,300     TMB Bank Pcl NVDR     177,660  
    106,000     TTW Pcl NVDR     44,532  
    204,300     Univentures Pcl NVDR     20,541  
     

 

 

 
    Total Thailand     3,146,784  
     

 

 

 
          Turkey — 0.8%      
    404,011     Aksa Akrilik Kimya Sanayii AS     553,031  
    148,561     Alkim Alkali Kimya AS     259,272  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Turkey — continued      
    50,468     Anadolu Efes Biracilik Ve Malt Sanayii AS     135,141  
    157,704     Arcelik AS *     550,233  
    638,576     Aselsan Elektronik Sanayi Ve Ticaret AS     1,411,568  
    15,920     BIM Birlesik Magazalar AS     142,623  
    1,381,782     Dogan Sirketler Grubu Holding AS     424,066  
    45,393     Dogus Otomotiv Servis ve Ticaret AS     154,669  
    3,541,191     Emlak Konut Gayrimenkul Yatirim Ortakligi AS (REIT)     975,361  
    703,585     Enerjisa Enerji AS     972,003  
    1,391,192     Eregli Demir ve Celik Fabrikalari TAS     1,955,783  
    190,179     Goodyear Lastikleri TAS *     181,996  
    57,625     Koza Altin Isletmeleri AS *     549,180  
    79,123     Koza Anadolu Metal Madencilik Isletmeleri AS *     127,978  
    143,941     Ozak Gayrimenkul Yatirim Ortakligi (REIT) *     77,926  
    288,243     Selcuk Ecza Deposu Ticaret ve Sanayi AS     461,861  
    34,618     Tofas Turk Otomobil Fabrikasi AS     125,822  
    291,107     Torunlar Gayrimenkul Yatirim Ortakligi AS (REIT) *     134,717  
    1,080     Turkcell Iletisim Hizmetleri AS     2,041  
    3,309,651     Turkiye Garanti Bankasi AS *     3,707,435  
    4,367,658     Turkiye Is Bankasi AS – Class C *     3,646,248  
    470,763     Turkiye Sinai Kalkinma Bankasi AS *     137,917  
    790,017     Turkiye Sise ve Cam Fabrikalari AS     686,370  
    29,636     Vestel Beyaz Esya Sanayi ve Ticaret AS     130,237  
     

 

 

 
    Total Turkey     17,503,478  
     

 

 

 
          United Arab Emirates — 0.1%      
    26,248     Abu Dhabi Commercial Bank PJSC     43,272  
    31,478     Abu Dhabi Islamic Bank PJSC     40,248  
    143,156     Dubai Islamic Bank PJSC     173,503  
    75,698     Emaar Malls PJSC *     37,564  
    3,105,633     Emaar Properties PJSC *     2,679,414  
    17,277     Emirates NBD Bank PJSC     51,448  
     

 

 

 
    Total United Arab Emirates     3,025,449  
     

 

 

 
          United Kingdom — 3.4%      
    132,968     3i Group Plc     1,879,777  
    88,449     888 Holdings Plc     320,573  
    1,007     Admiral Group Plc     37,931  
    22,447     Aggreko Plc     166,392  
    5,944     Alliance Pharma Plc     5,910  
    12,288     Anglo American Plc     357,825  
    8,191     AVEVA Group Plc (a)     368,548  
    48,991     Aviva Plc     207,418  
    28,506     B&M European Value Retail SA     180,233  
    14,675     Bank of Georgia Group Plc *     220,252  
    454,736     Barratt Developments Plc *     3,728,099  
    52,499     Bellway Plc     1,972,050  
    88,468     Berkeley Group Holdings Plc (The)     5,407,488  
    48,498     British American Tobacco Plc     1,707,239  
    62,200     British American Tobacco Plc Sponsored ADR     2,196,282  
    922,249     BT Group Plc     1,427,559  
     Shares     Description       
Value ($)
 
          United Kingdom — continued      
    5,587     Bunzl Plc     174,015  
    15,764     Carnival Plc     273,259  
    725,585     Centamin Plc     1,099,197  
    30,246     Central Asia Metals Plc     86,956  
    26,485     CMC Markets Plc     137,238  
    34,017     Coca-Cola HBC AG *     971,683  
    148,427     Compass Group Plc     2,611,671  
    17,757     Computacenter Plc     523,481  
    3,158     Cranswick Plc     143,918  
    6,278     Daily Mail & General Trust Plc – Class A     56,688  
    2,893     Dart Group Plc     53,655  
    44,239     Dixons Carphone Plc     64,852  
    15,846     Dunelm Group Plc *     254,855  
    44,911     Electrocomponents Plc     483,623  
    6,836     EMIS Group Plc     88,747  
    11,088     Evraz Plc     55,719  
    34,363     Ferguson Plc     3,846,561  
    347,095     Ferrexpo Plc     973,341  
    80,475     Frasers Group Plc *     449,109  
    6,581     Fresnillo Plc     92,587  
    11,710     Galliford Try Holdings Plc *     16,912  
    3,308     Games Workshop Group Plc     433,200  
    19,604     Go-Ahead Group Plc (The) *     212,253  
    7,895     Greggs Plc *     176,749  
    66,636     Halfords Group Plc     236,453  
    7,340     Howden Joinery Group Plc *     61,432  
    150,800     HSBC Holdings Plc *     786,462  
    180,919     IG Group Holdings Plc     1,927,411  
    18,917     IMI Plc     280,342  
    57,918     Inchcape Plc *     461,070  
    127,082     Indivior Plc *     171,799  
    32,655     International Personal Finance Plc * (a)     38,388  
    64,396     Investec Plc     158,552  
    375,454     ITV Plc *     467,234  
    216,158     J Sainsbury Plc     603,373  
    107,581     JD Sports Fashion Plc *     1,103,944  
    38,826     John Laing Group Plc     163,338  
    5,306     Johnson Matthey Plc     156,350  
    39,590     Jupiter Fund Management Plc     127,871  
    667,614     Kingfisher Plc *     2,424,523  
    477,935     Legal & General Group Plc     1,578,319  
    51,972     Lookers Plc (c)     14,550  
    536,309     M&G Plc     1,330,707  
    413,172     Micro Focus International Plc *     1,902,964  
    53,437     Mitchells & Butlers Plc *     150,454  
    1,093     Mondi Plc     23,916  
    76,026     Morgan Advanced Materials Plc     284,909  
    17,371     Morgan Sindall Group Plc     322,153  
    144,583     National Express Group Plc *     426,067  
    28,190     National Grid Plc     315,687  
    4,029     Next Plc     348,036  
    21,681     Numis Corp Plc     99,522  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United Kingdom — continued      
    13,128     OSB Group Plc *     68,002  
    69,279     Paragon Banking Group Plc     372,077  
    203,898     Persimmon Plc     7,155,237  
    128,677     Pets at Home Group Plc     709,675  
    43,645     Phoenix Group Holdings Plc     413,351  
    43,894     Playtech Plc *     224,054  
    89,601     Plus500 Ltd     1,838,942  
    216,530     Premier Foods Plc *     253,517  
    232,899     QinetiQ Group Plc     905,579  
    54,135     Redde Northgate Plc     174,137  
    15,424     Redrow Plc *     106,087  
    50,388     Royal Dutch Shell Plc – A Shares     850,744  
    188,788     Royal Dutch Shell Plc – B Shares     3,032,026  
    2,700     Royal Dutch Shell Plc – Class B Sponsored ADR     87,615  
    17,271     Royal Mail Plc     69,992  
    400     Smith & Nephew Plc Sponsored ADR     15,740  
    34,529     Smiths Group Plc     663,449  
    12,899     Softcat Plc     194,464  
    162,504     Spirent Communications Plc     554,918  
    57,445     Stock Spirits Group Plc     180,166  
    289,144     Tate & Lyle Plc     2,442,616  
    226,660     Taylor Wimpey Plc *     461,294  
    1,688     TI Fluid Systems Plc *     4,961  
    12,980     Vesuvius Plc     83,816  
    29,633     Vistry Group Plc *     327,798  
    201,671     WPP Plc     1,943,251  
     

 

 

 
    Total United Kingdom     72,563,179  
     

 

 

 
          United States — 12.1%      
    3,300     1st Source Corp.     123,156  
    112,203     ACCO Brands Corp.     859,475  
    31,300     Acushnet Holdings Corp. (a)     1,180,010  
    21,900     Adtalem Global Education, Inc. * (a)     626,997  
    31,000     ADTRAN, Inc.     391,685  
    1,700     AdvanSix, Inc. * (a)     30,209  
    8,200     Alexion Pharmaceuticals, Inc. *     1,001,302  
    23,500     Alliance Data Systems Corp.     1,718,790  
    3,300     Allied Motion Technologies, Inc.     133,881  
    5,200     Allscripts Healthcare Solutions, Inc. * (a)     71,136  
    20,800     Ally Financial, Inc. (a)     616,720  
    13,400     Alpha & Omega Semiconductor Ltd. *     332,856  
    6,400     Amalgamated Bank – Class A     81,408  
    13,000     AMC Networks, Inc. – Class A * (a)     428,610  
    23,856     American Express Co. (a)     2,829,083  
    5,200     American Public Education, Inc. *     161,408  
    5,900     American Vanguard Corp.     89,444  
    6,300     Amkor Technology, Inc. *     92,862  
    19,900     Amneal Pharmaceuticals, Inc. * (a)     78,605  
    18,300     AngioDynamics, Inc. *     260,226  
    400     Anthem, Inc.     124,608  
    2,100     Apogee Enterprises, Inc. (a)     55,104  
    2,300     Applied Industrial Technologies, Inc.     180,389  
     Shares     Description       
Value ($)
 
          United States — continued      
    10,000     ArcBest Corp.     419,100  
    3,600     Arcosa, Inc.     186,804  
    200     Ares Commercial Real Estate Corp. (REIT)     2,228  
    64,400     Arlo Technologies, Inc. *     338,744  
    13,900     Arrow Electronics, Inc. *     1,273,935  
    1,030     Arrow Financial Corp.     30,653  
    47,100     Associated Banc-Corp. (a)     721,572  
    39,800     AT&T, Inc. (a)     1,144,250  
    35,700     Athene Holding Ltd. – Class A * (a)     1,583,295  
    11,700     Atlas Air Worldwide Holdings, Inc. * (a)     652,977  
    30,800     AutoNation, Inc. * (b)     1,887,732  
    26,100     Avient Corp.     953,955  
    14,400     Avnet, Inc.     437,040  
    1,500     Axos Financial, Inc. * (a)     50,250  
    10,500     AZZ, Inc.     468,195  
    2,400     Bancorp, Inc. (The) *     28,320  
    5,400     BankFinancial Corp.     43,578  
    2,800     BankUnited, Inc. (a)     79,828  
    1,300     Bar Harbor Bankshares     29,965  
    24,400     Bed Bath & Beyond, Inc.     511,424  
    39,900     Benchmark Electronics, Inc.     970,368  
    51,800     Big Lots, Inc. (b)     2,676,506  
    4,300     Biogen, Inc. *     1,032,731  
    400     BOK Financial Corp.     26,780  
    1,000     Booking Holdings, Inc. * (a)     2,028,450  
    66,400     BorgWarner, Inc. (b)     2,579,640  
    30,600     Boston Private Financial Holdings, Inc.     219,096  
    39,400     Brady Corp. – Class A (b)     1,740,692  
    4,400     Bridge Bancorp, Inc.     98,208  
    33,800     Brightsphere Investment Group, Inc.     598,260  
    18,800     Brinker International, Inc.     942,068  
    5,500     Brookline Bancorp, Inc.     62,535  
    1,600     Cabot Corp.     66,256  
    10,100     Calix, Inc. *     239,168  
    3,100     Camden National Corp.     106,485  
    17,800     Capital One Financial Corp. (a)     1,524,392  
    19,900     Capri Holdings Ltd. *     704,062  
    32,900     Carnival Corp. (a)     657,342  
    3,100     Carriage Services, Inc.     84,351  
    26,400     Carrier Global Corp.     1,005,048  
    56,700     Cars.com, Inc. * (a)     633,339  
    9,700     Cathay General Bancorp     274,025  
    4,600     Cato Corp. (The) – Class A     37,076  
    13,900     CBIZ, Inc. *     336,658  
    26,000     CBRE Group, Inc. – Class A *     1,589,640  
    16,400     Centene Corp. * (a)     1,011,060  
    2,200     Central Garden & Pet Co. *     88,088  
    8,500     Central Garden & Pet Co. – Class A *     313,565  
    1,800     Century Bancorp, Inc. – Class A     133,020  
    143,500     CenturyLink, Inc. (a)     1,499,575  
    44,929     Charles Schwab Corp. (The) (a) (b)     2,191,637  
    19,700     Chevron Corp. (a)     1,717,446  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — continued      
    6,400     Cigna Corp.     1,338,496  
    7,300     Cisco Systems, Inc.     314,046  
    32,100     Citigroup, Inc.     1,767,747  
    20,200     Citizens Financial Group, Inc. (a)     659,732  
    2,700     Civista Bancshares, Inc.     45,441  
    9,240     Clarus Corp.     133,056  
    2,000     CNB Financial Corp.     39,360  
    24,563     Coca-Cola Co. (The)     1,267,451  
    12,400     Cognizant Technology Solutions Corp. – Class A     968,812  
    26,500     Comcast Corp. – Class A (a)     1,331,360  
    2,700     Comfort Systems USA, Inc.     136,053  
    2,500     Commercial Metals Co. (a)     49,775  
    1,900     Community Trust Bancorp, Inc.     64,315  
    14,900     Computer Programs & Systems, Inc.     423,607  
    34,600     Comtech Telecommunications Corp.     659,476  
    23,200     Consolidated Communications Holdings, Inc. *     129,920  
    6,700     Cooper Tire & Rubber Co.     266,191  
    21,200     Core-Mark Holding Co., Inc.     661,228  
    146,100     CoreCivic, Inc. (REIT) (b)     1,035,849  
    60,100     CorePoint Lodging, Inc. (REIT)     391,251  
    13,496     Cornerstone Building Brands, Inc. * (a)     117,955  
    32,300     Corteva, Inc. (a)     1,237,736  
    155,000     Coty Inc. – Class A (a)     1,114,450  
    1,800     Covetrus, Inc. * (a)     48,627  
    6,215     CRA International, Inc.     284,958  
    8,400     CSG Systems International, Inc.     364,392  
    6,100     CTS Corp.     185,806  
    13,400     Curo Group Holdings Corp.     115,776  
    18,900     CVS Health Corp. (a)     1,281,231  
    19,300     CytomX Therapeutics, Inc.*     145,136  
    11,100     Deluxe Corp. (a)     285,714  
    44,400     Designer Brands, Inc. – Class A (a)     350,760  
    26,800     DHI Group, Inc.*     51,456  
    600     Diamond Hill Investment Group, Inc.     82,092  
    8,500     Dick’s Sporting Goods, Inc. (a)     482,885  
    7,700     Digi International, Inc. * (a)     132,132  
    14,440     Dime Community Bancshares, Inc.     208,658  
    46,700     DISH Network Corp. – Class A *     1,675,129  
    3,500     Domtar Corp. (a)     105,350  
    39,200     Donnelley Financial Solutions, Inc. *     638,568  
    16,400     DR Horton, Inc.     1,221,800  
    8,900     DSP Group, Inc. *     149,787  
    6,900     Ducommun, Inc. *     343,068  
    2,000     Duluth Holdings Inc. – Class A * (a)     29,400  
    13,100     Edwards Lifesciences Corp. * (a)     1,098,959  
    1,800     EMCOR Group, Inc. (a)     155,124  
    3,000     Employers Holdings, Inc.     91,530  
    12,900     Encore Capital Group, Inc. * (a)     440,406  
    1,600     Encore Wire Corp.     82,672  
    157,000     Endo International Plc * (a)     797,560  
    6,300     Endurance International Group Holdings, Inc. *     59,724  
    2,200     EnerSys (a)     179,982  
     Shares     Description       
Value ($)
 
          United States — continued      
    9,200     Ennis, Inc.     150,604  
    53,834     Enova International, Inc. *     1,125,669  
    700     EnPro Industries, Inc.     49,567  
    44,657     EOG Resources, Inc. (a)     2,093,520  
    1,000     ePlus, Inc. *     84,310  
    1,800     Escalade, Inc.     34,686  
    1,900     ESSA Bancorp, Inc. (a)     30,058  
    42,600     Ethan Allen Interiors, Inc.     778,302  
    12,700     Evolution Petroleum Corp.     38,608  
    24,800     Exelon Corp. (a)     1,018,536  
    12,100     Expedia Group, Inc. (a)     1,506,329  
    31,600     Exxon Mobil Corp. (a)     1,204,908  
    800     Federal Agricultural Mortgage Corp. – Class C     54,160  
    29,600     Federal Signal Corp. (b)     918,488  
    32,200     Federated Hermes, Inc.     864,248  
    5,550     FedNat Holding Co.     31,302  
    2,200     Ferro Corp. *     31,482  
    4,400     Financial Institutions, Inc.     88,044  
    2,600     First Community Bankshares, Inc.     54,782  
    3,535     First Financial Corp.     133,870  
    1,800     First Financial Northwest, Inc.     19,872  
    5,100     First Foundation, Inc.     90,576  
    53,600     Flagstar Bancorp, Inc. (b)     1,878,144  
    1,500     FleetCor Technologies, Inc. * (a)     397,815  
    4,700     Flushing Financial Corp.     66,740  
    12,500     FNB Corp (a)     110,375  
    2,600     FONAR Corp. *     49,946  
    179,100     Ford Motor Co. (a)     1,626,228  
    28,600     Fox Corp. – Class A (a)     824,824  
    33,700     Fox Corp. – Class B *     956,406  
    8,400     FutureFuel Corp.     100,716  
    6,800     G-III Apparel Group Ltd. * (a)     138,516  
    17,000     GameStop Corp. – Class A *     281,520  
    24,700     Garrett Motion, Inc. *     119,795  
    37,700     General Motors Co.     1,652,768  
    15,200     Genesco, Inc. * (a)     476,824  
    14,844     Genie Energy Ltd. – Class B (a)     123,205  
    131,100     GEO Group, Inc. (The) (REIT)     1,238,895  
    5,200     Gilead Sciences, Inc.     315,484  
    7,100     Goldman Sachs Group, Inc. (The)     1,637,118  
    9,300     Gorman-Rupp Co. (The)     305,970  
    700     Graham Holdings Co. – Class B     312,914  
    685     Great Southern Bancorp, Inc.     31,442  
    25,700     Greif, Inc. – Class A     1,249,277  
    34,400     Griffon Corp.     717,240  
    27,400     Group 1 Automotive, Inc. (a) (b)     3,255,394  
    16,100     H&R Block, Inc. (a)     302,680  
    19,300     Hasbro, Inc. (a)     1,795,479  
    26,300     Haverty Furniture Cos, Inc.     715,886  
    300     Hawkins, Inc.     15,054  
    5,000     HB Fuller Co. (a)     261,650  
    3,700     HealthStream, Inc. *     69,116  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — continued      
    7,000     Heidrick & Struggles International, Inc.     182,700  
    3,500     Heritage Financial Corp.     81,445  
    54,530     Herman Miller, Inc. (b)     1,943,449  
    24,300     Hilltop Holdings, Inc.     585,387  
    18,028     Hilton Worldwide Holdings, Inc. (b)     1,868,242  
    13,400     HNI Corp.     488,564  
    9,361     Honeywell International, Inc. (a)     1,908,895  
    33,400     HP, Inc. (a)     732,462  
    1,600     Hurco Cos, Inc.     47,696  
    9,800     Hyster-Yale Materials Handling, Inc.     539,392  
    12,500     IDT Corp. – Class B *     149,000  
    5,646     Independent Bank Corp.     96,038  
    12,200     Information Services Group, Inc. *     36,844  
    5,000     Ingles Markets, Inc. – Class A     187,950  
    14,405     Innospec, Inc.     1,185,387  
    28,400     Insight Enterprises, Inc. * (a) (b)     2,030,032  
    3,200     Insteel Industries, Inc.     74,016  
    7,500     Integer Holdings Corp. * (a)     540,675  
    25,100     Intel Corp. (a)     1,213,585  
    4,700     Inter Parfums, Inc. (a)     255,257  
    8,200     Interface, Inc.     68,429  
    23,900     International Bancshares Corp. (b)     774,599  
    12,700     International Business Machines Corp. (a)     1,568,704  
    58,100     Invesco Ltd. (a)     942,963  
    156,600     Investors Bancorp, Inc.     1,515,888  
    7,100     Jazz Pharmaceuticals Plc * (a)     999,041  
    6,300     Johnson Outdoors, Inc. – Class A     526,680  
    1,100     Jones Lang LaSalle, Inc. * (a)     145,519  
    12,700     Kelly Services, Inc. – Class A     259,842  
    12,600     Kezar Life Sciences, Inc. *     82,908  
    5,800     Kforce, Inc.     238,090  
    10,100     Kimball Electronics, Inc. *     155,641  
    32,900     Kimball International, Inc. – Class B     359,597  
    112,300     Kinder Morgan, Inc.     1,614,874  
    10,600     Knoll, Inc.     144,796  
    41,900     Kohl’s Corp.     1,349,180  
    800     Kontoor Brands, Inc. *     33,336  
    5,200     Koppers Holdings, Inc. *     140,764  
    18,800     Kraft Heinz Co. (The) (a)     619,272  
    29,200     Kroger Co. (The) (a)     963,600  
    5,600     Kronos Worldwide, Inc.     77,000  
    27,300     La-Z-Boy, Inc.     1,011,192  
    2,400     Laboratory Corp. of America Holdings *     479,616  
    5,700     Lakeland Financial Corp. (a)     289,503  
    2,500     Lantheus Holdings, Inc. *     32,900  
    31,884     Las Vegas Sands Corp. (a)     1,776,258  
    3,000     LCNB Corp.     44,400  
    4,000     Leidos Holdings, Inc.     402,800  
    15,200     Lennar Corp. – Class A (a)     1,153,072  
    3,953     LENSAR, Inc. *     33,877  
    4,100     Levi Strauss & Co. – Class A     75,399  
    105,600     Liberty TripAdvisor Holdings, Inc. – Class A *     290,400  
     Shares     Description       
Value ($)
 
          United States — continued      
    4,200     Lifevantage Corp. *     44,646  
    35,100     Lincoln National Corp. (a)     1,657,422  
    7,400     LKQ Corp. * (a)     260,628  
    26,800     Luminex Corp.     635,964  
    57,500     Lyft, Inc. – Class A * (a) (b)     2,194,775  
    16,700     LyondellBasell Industries NV – Class A (a)     1,421,170  
    4,800     Macatawa Bank Corp.     37,248  
    15,400     Marchex, Inc. – Class B *     33,264  
    1,898     Markel Corp. * (a)     1,848,329  
    800     Masonite International Corp. *     80,040  
    15,700     Materion Corp. (b)     915,310  
    14,677     Matrix Service Co. *     140,606  
    15,300     MDC Holdings, Inc.     738,531  
    33,400     MDC Partners Inc – Class A *     76,820  
    3,100     Mednax, Inc. * (a)     62,651  
    1,600     Mercantile Bank Corp.     39,728  
    6,300     Meridian Bancorp, Inc.     85,963  
    39,200     Meridian Bioscience, Inc. * (a)     740,880  
    49,400     Meritor, Inc.* (b)     1,304,160  
    6,100     Methode Electronics, Inc.     213,622  
    29,500     MetLife, Inc.     1,362,015  
    64,700     MGIC Investment Corp. (a)     773,812  
    22,000     Michaels Cos., Inc. (The) *     217,580  
    25,800     Micron Technology, Inc. * (b)     1,653,522  
    1,400     MicroStrategy, Inc. – Class A * (a)     479,878  
    2,100     Miller Industries, Inc.     70,119  
    30,800     Modine Manufacturing Co. *     336,336  
    3,500     Mohawk Industries, Inc. * (a)     440,405  
    34,300     Molson Coors Brewing Co. – Class B (a)     1,577,800  
    24,900     Moog, Inc. – Class A (b)     1,926,264  
    16,700     Morgan Stanley     1,032,561  
    25,000     Movado Group, Inc.     423,250  
    1,000     MSC Industrial Direct Co., Inc. – Class A (a)     83,320  
    11,800     Mueller Industries, Inc.     386,568  
    6,400     National General Holdings Corp.     218,112  
    2,200     National Presto Industries, Inc.     187,110  
    1,800     Natus Medical, Inc. *     37,656  
    53,300     Nautilus, Inc. *     1,124,630  
    1,000     NBT Bancorp, Inc.     29,950  
    7,700     Neenah, Inc.     373,527  
    9,000     NETGEAR, Inc. *     286,290  
    164,300     Newmark Group, Inc. – Class A     1,153,386  
    11,500     NextGen Healthcare, Inc. *     204,010  
    8,500     Northfield Bancorp, Inc.     94,605  
    942     Northrim BanCorp, Inc.     29,927  
    600     Northwest Bancshares, Inc. (a)     7,098  
    2,100     Nu Skin Enterprises, Inc. – Class A (a)     108,171  
    26,700     nVent Electric Plc     614,100  
    37,300     Occidental Petroleum Corp. (a)     587,848  
    37,900     OFG Bancorp     634,825  
    9,700     Old National Bancorp     153,551  
    7,200     Olympic Steel, Inc. (a)     106,848  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — continued      
    7,906     Oppenheimer Holdings, Inc. – Class A     233,148  
    19,200     Oracle Corp. (a)     1,108,224  
    44,600     Owens & Minor, Inc.     1,148,896  
    2,300     PacWest Bancorp     53,498  
    1,400     Park National Corp.     141,554  
    4,600     Park-Ohio Holdings Corp. (a)     129,214  
    2,600     Patrick Industries, Inc. (a)     163,904  
    40,100     Patterson Cos., Inc. (a)     1,113,176  
    5,700     PC Connection, Inc. (a)     260,205  
    27,300     Penn Virginia Corp. * (a)     246,246  
    600     Penns Woods Bancorp, Inc.     15,336  
    37,100     PennyMac Financial Services, Inc. (a)     2,138,444  
    40,400     PennyMac Mortgage Investment Trust (REIT) (a)     690,840  
    3,700     Penske Automotive Group, Inc. (a)     203,759  
    38,900     Perdoceo Education Corp. * (a)     441,126  
    900     Phibro Animal Health Corp. – Class A     17,001  
    19,900     Phillips 66 (a)     1,205,542  
    14,500     Photronics, Inc. *     168,055  
    2,500     Polaris, Inc. (a)     240,000  
    400     Preformed Line Products Co.     24,260  
    2,900     Premier Financial Bancorp, Inc.     38,599  
    18,000     Premier Financial Corp.     372,780  
    42,900     Prestige Consumer Healthcare, Inc. *     1,525,953  
    1,800     Primoris Services Corp.     43,650  
    3,200     Principal Financial Group, Inc. (a)     159,328  
    8,900     Progress Software Corp.     356,890  
    2,800     Protective Insurance Corp. – Class B     40,012  
    3,300     Providence Service Corp. (The) *     448,107  
    20,700     Prudential Financial, Inc.     1,565,334  
    5,700     PulteGroup, Inc.     248,691  
    56,500     QEP Resources, Inc. (a)     90,965  
    2,600     Quanex Building Products Corp.     53,560  
    114,900     Qurate Retail, Inc. – Series A     1,203,003  
    52,065     Raytheon Technologies Corp.     3,734,102  
    79,900     Realogy Holdings Corp. *     983,569  
    2,200     Regeneron Pharmaceuticals, Inc. * (a)     1,135,266  
    5,300     Renewable Energy Group, Inc. * (a)     307,824  
    1,800     Republic Bancorp, Inc. – Class A     63,540  
    61,700     Resideo Technologies, Inc. *     1,140,833  
    26,200     Resources Connection, Inc.     317,282  
    3,665     Riverview Bancorp, Inc.     19,351  
    5,800     Rocky Brands, Inc.     168,200  
    77,600     Sanmina Corp. * (b)     2,468,844  
    12,700     Scholastic Corp.     301,244  
    32,700     Schweitzer-Mauduit International, Inc. (a)     1,137,306  
    36,700     Sciplay Corp. – Class A *     546,463  
    21,200     Select Medical Holdings Corp. *     510,920  
    3,700     Seneca Foods Corp. – Class A *     154,956  
    56,560     Sensata Technologies Holding Plc * (b)     2,761,825  
    17,000     Shoe Carnival, Inc.     621,690  
    7,100     Sierra Bancorp     156,200  
    22,200     Silgan Holdings, Inc. (a)     750,360  
     Shares     Description       
Value ($)
 
          United States — continued      
    2,700     Simmons First National Corp-Class A (a)     52,650  
    1,700     Sleep Number Corp. *     117,963  
    98,600     SLM Corp. (a)     1,046,146  
    29,800     Sonic Automotive, Inc. – Class A (b)     1,203,324  
    206,700     Southwestern Energy Co. * (a)     642,837  
    27,900     SpartanNash Co.     526,752  
    33,100     Spok Holdings, Inc.     325,373  
    4,100     Sprouts Farmers Market, Inc. *     86,797  
    5,400     SS&C Technologies Holdings, Inc.     372,006  
    3,400     Standard Motor Products, Inc.     157,386  
    60,400     Steelcase, Inc. – Class A     733,860  
    5,000     Stepan Co.     580,800  
    4,400     Stewart Information Services Corp. (a)     184,228  
    26,100     Stoneridge, Inc. *     701,046  
    12,300     StoneX Group, Inc. * (a)     757,926  
    93,200     Summit Hotel Properties, Inc. (REIT)     809,908  
    21,600     Sunstone Hotel Investors, Inc. (REIT) (b)     226,800  
    2,800     Super Micro Computer, Inc. *     78,988  
    13,600     Surface Oncology, Inc. *     122,944  
    21,000     Surgalign Holdings, Inc. * (a)     47,460  
    3,000     Surmodics, Inc. *     112,320  
    2,900     Sutro Biopharma, Inc. * (a)     49,590  
    29,200     Sykes Enterprises, Inc. * (a)     1,098,796  
    49,900     Synchrony Financial     1,520,453  
    10,500     Systemax, Inc.     323,085  
    144,336     TEGNA, Inc. (b)     2,079,882  
    57,400     Telephone & Data Systems, Inc. (b)     1,089,452  
    1,500     Tennant Co.     100,740  
    28,500     Terex Corp.     883,500  
    3,800     Territorial Bancorp, Inc.     84,778  
    1,000     Texas Capital Bancshares, Inc. * (a)     55,900  
    12,400     Textron, Inc. (a)     559,240  
    700     Timberland Bancorp, Inc.     16,681  
    9,200     Towne Bank/Portsmouth VA     200,100  
    20,900     Tredegar Corp.     330,429  
    35,700     TRI Pointe Group, Inc. *     624,036  
    22,000     Tribune Publishing Co.     265,760  
    6,500     TriCo Bancshares     212,940  
    2,000     TrueBlue, Inc. *     38,200  
    25,100     TrustCo Bank Corp.     152,357  
    3,900     Trustmark Corp.     96,798  
    2,100     Tutor Perini Corp. * (a)     28,392  
    16,300     Tyson Foods, Inc. – Class A     1,062,760  
    31,800     UFP Industries, Inc. (b)     1,706,070  
    2,700     United Natural Foods, Inc. * (a)     46,575  
    3,200     United Rentals, Inc. * (a)     726,336  
    10,900     United States Cellular Corp. *     341,715  
    2,900     United Therapeutics Corp. * (a)     384,656  
    1,100     Uniti Group, Inc. (REIT)     11,308  
    31,500     Universal Corp. (b)     1,433,565  
    1,500     Universal Electronics, Inc. *     78,990  
    11,600     Universal Health Services, Inc. – Class B     1,514,728  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — continued      
    2,600     Universal Insurance Holdings, Inc.     36,296  
    1,200     Universal Logistics Holdings, Inc.     25,812  
    10,000     Urban Edge Properties (REIT)     129,800  
    67,309     US Bancorp (b)     2,908,422  
    3,600     USANA Health Sciences, Inc. *     270,648  
    56,400     Valvoline, Inc.     1,285,356  
    17,300     Vectrus, Inc. *     824,691  
    41,800     Vera Bradley, Inc. *     354,464  
    11,000     Veritiv Corp. *     204,380  
    55,925     Verso Corp. – Class A     604,549  
    29,949     VF Corp. (a)     2,497,747  
    47,800     ViacomCBS, Inc. – Class B (a)     1,686,384  
    33,600     Viatris, Inc.*     565,152  
    3,200     Village Super Market, Inc. – Class A     74,112  
    16,700     Vista Outdoor, Inc. *     344,521  
    6,800     VMware, Inc. – Class A * (a)     951,252  
    64,800     Waddell & Reed Financial, Inc. – Class A (a)     1,066,608  
    26,000     Walgreens Boots Alliance, Inc. (a)     988,260  
    26,800     Walker & Dunlop, Inc. (b)     2,144,268  
    16,200     Waterstone Financial, Inc.     284,553  
    4,900     Weis Markets, Inc.     233,387  
    103,956     Wells Fargo & Co. (b)     2,843,197  
    1,900     WESCO International, Inc. * (a)     123,918  
    47,600     Western Union Co. (The) (a)     1,073,856  
    32,300     Western Digital Corp. (a)     1,449,624  
    2,300     Westwood Holdings Group, Inc.     27,416  
    3,900     Wintrust Financial Corp.     212,511  
    79,900     World Fuel Services Corp. (b)     2,270,758  
    9,900     Worthington Industries, Inc.     512,028  
    1,700     WW International, Inc. * (a)     50,167  
    120,004     Xenia Hotels & Resorts, Inc. (REIT)     1,690,856  
    32,500     Xerox Holdings Corp. (a)     711,425  
    10,400     Xperi Holding Corp. (a)     198,432  
    19,600     Zumiez, Inc. *     726,964  
     

 

 

 
    Total United States     256,280,909  
     

 

 

 
          Vietnam — 0.0%      
    71,230     Kinh Bac City Development Share Holding Corp *     48,777  
    13,660     PetroVietnam Gas JSC     49,208  
    142,000     PetroVietnam Technical Services Corp     90,339  
    20,810     Vinh Hoan Corp     39,717  
     

 

 

 
    Total Vietnam     228,041  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,328,817,017)
    1,423,742,139  
     

 

 

 
          PREFERRED STOCKS (f) — 1.2%      
          Brazil — 0.3%      
    32,800     Banco do Estado do Rio Grande do Sul SA – Class B     80,815  
    239,221     Bradespar SA     2,594,307  
    43,400     Braskem SA – Class A *     183,081  
     Shares     Description       
Value ($)
 
          Brazil — continued      
    437,800     Cia de Saneamento do Parana     407,777  
    237,000     Cia Paranaense de Energia – Class B     3,020,120  
    14,900     Lojas Americanas SA     63,773  
     

 

 

 
    Total Brazil     6,349,873  
     

 

 

 
          Chile — 0.0%      
    1,000     Sociedad Quimica y Minera de Chile SA Sponsored ADR     47,070  
     

 

 

 
          Colombia — 0.0%      
    2,263     Banco Davivienda SA     17,683  
    443,291     Grupo Aval Acciones y Valores SA     128,195  
     

 

 

 
    Total Colombia     145,878  
     

 

 

 
          Germany — 0.1%      
    22,726     Bayerische Motoren Werke AG     1,493,219  
    8,749     Draegerwerk AG & Co KGaA     685,530  
    4,294     Henkel AG & Co KGaA     461,972  
    12,237     Schaeffler AG     91,061  
    1,243     Sixt SE     89,875  
    1,897     Villeroy & Boch AG     30,016  
    2,280     Volkswagen AG     382,716  
     

 

 

 
    Total Germany     3,234,389  
     

 

 

 
          Russia — 0.3%      
    43,754     Bashneft PJSC     704,590  
    56,000     Nizhnekamskneftekhim PJSC     57,690  
    10,116,100     Surgutneftegas PJSC     5,255,748  
    42     Transneft PJSC     78,674  
     

 

 

 
    Total Russia     6,096,702  
     

 

 

 
          South Korea — 0.5%      
    1,603     Amorepacific Corp     78,082  
    3,733     Hyundai Motor Co Ltd Prf     283,769  
    1,110     Hyundai Motor Co Ltd-2nd Prf     86,973  
    22,177     LG Electronics Inc     659,342  
    160,494     Samsung Electronics Co Ltd     8,854,694  
    392     Samsung Electronics Co Ltd GDR (Registered)     531,556  
     

 

 

 
    Total South Korea     10,494,416  
     

 

 

 
          Taiwan — 0.0%      
    13,589     Chailease Holding Co. Ltd. *     47,390  
    20,463     CTBC Financial Holding Co Ltd     46,108  
     

 

 

 
    Total Taiwan     93,498  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $22,184,819)
    26,461,826  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%      
          Pakistan — 0.0%      
    6,201     Searle Co Ltd, Expires 12/31/20 * (c)     2,490  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares /
Par Value†
    Description       
Value ($)
 
          Spain — 0.0%      
    997,534     Banco Santander SA, Expires 12/03/20 *     124,583  
     

 

 

 
          United Kingdom — 0.0%      
    10,277     AVEVA Group Plc, Expires 12/09/20 *     153,446  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $221,959)
    280,519  
     

 

 

 
          INVESTMENT FUNDS — 0.3%      
          United States — 0.3%      
    90,754     iShares Core MSCI Emerging Markets ETF     5,319,999  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $5,454,542)
    5,319,999  
     

 

 

 
          DEBT OBLIGATIONS — 16.7%      
          United States — 16.7%      
          Asset-Backed Securities — 0.1%      
    114,742     Atlas Senior Loan Fund XI Ltd., Series 18-11A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.75%, 0.96%, due 07/26/31     114,734  
    67,143     Avery Point IV CLO Ltd., Series 14-1A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.10%, 1.31%, due 04/25/26     67,143  
    14,839     Babson CLO Ltd., Series 14-IA, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.15%, 1.37%, due 07/20/25     14,846  
    273,492     Bayview Commercial Asset Trust, Series 07-5A, Class A3, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 1.15%, due 10/25/37     272,729  
    54,453     Bayview Commercial Mortgage Pass-Through Trust, Series 06-SP1, Class M3, 144A, Variable Rate, 1 mo. LIBOR + 0.86%, 1.01%, due 04/25/36     54,443  
    140,198     Canyon Capital CLO Ltd., Series 16-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.70%, 0.94%, due 07/15/31     140,197  
    2,571,735     Crest G-Star LP, Series 01-1A, Class D, 144A, 9.00%, due 11/28/35     3  
    285,333     Elevation CLO Ltd, Series 16-5A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.80%, 1.01%, due 10/25/31     283,745  
    104,811     Galaxy XXVII CLO Ltd., Series 18-27A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 0.82%, due 05/16/31     104,419  
    341,869     KeyCorp Student Loan Trust, Series 00-B, Class A2, Variable Rate, 3 mo. LIBOR + 0.31%, 0.52%, due 07/25/29     338,569  
    113,582     LCM XVIII LP, Series 18A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 0.82%, due 04/20/31     113,266  
    44,024     LCM XXV Ltd., Series 25,A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.95%, 1.17%, due 07/20/30     43,983  
     Par Value† /
Shares
    Description       
Value ($)
 
          United States — continued      
          Asset-Backed Securities — continued      
    453,141     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-2A, Class 1A3, 144A, Variable Rate, 1 mo. LIBOR + 0.27%, 0.42%, due 06/25/37     446,605  
    199,640     Madison Park Funding XIII Ltd., Series 14-13A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 0.82%, due 04/19/30     199,141  
    61,959     Mountain View CLO LLC, Series 17-2A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.65%, 0.88%, due 01/16/31     61,856  
    95,731     Silvermore CLO Ltd., Series 14-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.17%, 1.39%, due 05/15/26     95,474  
    289,333     Telos CLO Ltd., Series 14-5A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.75%, 0.97%, due 04/17/28     289,297  
    228,595     Telos CLO Ltd., Series 13-4A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.75%, 0.97%, due 01/17/30     227,290  
    70,956     Velocity Commercial Capital Loan Trust, Series 17-1, Class AFL, 144A, Variable Rate, 1 mo. LIBOR + 1.25%, 1.40%, due 05/25/47     70,732  
    41,106     Velocity Commercial Capital Loan Trust, Series 17-1, Class AFX, 144A, Variable Rate, 3.00%, due 05/25/47     41,086  
     

 

 

 
    Total Asset-Backed Securities     2,979,558  
     

 

 

 
          U.S. Government — 16.6%      
    34,000,000     U.S. Treasury Note, 1.50%, due 10/31/21     34,430,313  
    27,000,000     U.S. Treasury Note, 1.63%, due 12/31/21     27,440,859  
    21,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.15%, 0.24%, due 01/31/22     21,026,080  
    6,000,000     U.S. Treasury Note, 1.38%, due 01/31/22     6,086,953  
    22,000,000     U.S. Treasury Note, 1.88%, due 05/31/22     22,573,203  
    60,000,000     U.S. Treasury Note, 0.13%, due 06/30/22     59,990,625  
    60,000,000     U.S. Treasury Note, 0.13%, due 07/31/22     59,981,250  
    60,000,000     U.S. Treasury Note, 0.13%, due 08/31/22 (b)     59,978,907  
    60,000,000     U.S. Treasury Note, 0.13%, due 10/31/22 (b)     59,976,563  
     

 

 

 
    Total U.S. Government     351,484,753  
     

 

 

 
    Total United States     354,464,311  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $355,609,544)
    354,464,311  
     

 

 

 
          MUTUAL FUNDS — 22.5%      
          United States — 22.5%      
          Affiliated Issuers — 22.5%      
    2,492,451     GMO Emerging Country Debt Fund, Class IV     68,417,778  
    4,210,292     GMO Emerging Markets Fund, Class VI     142,981,508  
    5,213,891     GMO Opportunistic Income Fund, Class VI     136,395,398  
    1,626,141     GMO SGM Major Markets Fund, Class VI     53,711,445  
    2,267,763     GMO Special Opportunities Fund, Class VI     72,001,487  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — continued      
          Affiliated Issuers — continued      
    913,248     GMO U.S. Treasury Fund (g)     4,602,767  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $435,149,743)
    478,110,383  
     

 

 

 
          SHORT-TERM INVESTMENTS — 1.1%  
          Money Market Funds — 1.1%      
    22,813,777     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (h)     22,813,777  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $22,813,777)
    22,813,777  
     

 

 

 
    TOTAL INVESTMENTS — 108.8%
(Cost $2,170,251,401)
    2,311,192,954  
     

 

 

 
          SECURITIES SOLD SHORT — (8.9)%  
          Common Stocks — (8.9)%      
          Australia — (0.3)%      
    (13,948   Afterpay Ltd *     (971,833
    (192,684   APA Group     (1,460,415
    (8,846   ASX Ltd     (500,273
    (3,300   Cochlear Ltd     (534,765
    (8,073   Ramsay Health Care Ltd     (373,885
    (233,087   Sydney Airport     (1,150,107
    (48,012   TPG Telecom Ltd *     (271,053
    (142,308   Transurban Group     (1,468,440
     

 

 

 
    Total Australia     (6,730,771
     

 

 

 
          Austria — (0.0)%      
    (15,206   Verbund AG     (1,068,695
     

 

 

 
          Canada — (0.0)%      
    (73,300   AltaGas Ltd     (1,052,061
     

 

 

 
          China — (0.1)%      
    (211,900   BEST Inc ADR *     (620,867
    (18,800   Yum China Holdings Inc     (1,059,944
     

 

 

 
    Total China     (1,680,811
     

 

 

 
          France — (0.5)%      
    (28,305   Edenred     (1,617,493
    (91,341   Getlink SE *     (1,513,722
    (1,583   Hermes International     (1,540,191
    (2,518   Sartorius Stedim Biotech     (907,920
    (10,953   Ubisoft Entertainment SA *     (1,038,647
    (47,131   Vivendi SA     (1,412,916
    (13,763   Wendel SA     (1,555,010
     

 

 

 
    Total France     (9,585,899
     

 

 

 
          Germany — (0.6)%      
    (13,270   Delivery Hero SE *     (1,613,463
     Shares     Description       
Value ($)
 
          Germany — continued      
    (378   Deutsche Boerse AG     (62,964
    (15,383   Puma SE *     (1,524,346
    (13,196   QIAGEN NV *     (635,949
    (38,165   RWE AG     (1,578,594
    (3,272   Sartorius AG     (1,491,892
    (13,699   Scout24 AG     (1,043,870
    (2,588   TeamViewer AG *     (123,378
    (539,107   Telefonica Deutschland Holding AG     (1,488,082
    (55,370   thyssenkrupp AG *     (369,225
    (46,760   Uniper SE     (1,582,765
    (15,084   Zalando SE *     (1,532,190
     

 

 

 
    Total Germany     (13,046,718
     

 

 

 
          Italy — (0.2)%      
    (6,907   Ferrari NV     (1,463,461
    (107,698   FinecoBank Banca Fineco SPA *     (1,700,306
    (14,740   Infrastrutture Wireless Italiane SPA     (189,798
     

 

 

 
    Total Italy     (3,353,565
     

 

 

 
          Japan — (1.3)%      
    (60,700   Acom Co Ltd     (291,391
    (38,700   Asahi Intecc Co Ltd     (1,417,831
    (294,800   ENEOS Holdings Inc     (1,006,978
    (100   Fast Retailing Co Ltd     (81,936
    (11,700   GMO Payment Gateway Inc     (1,640,796
    (19,000   Hitachi Metals Ltd     (277,858
    (47,400   Idemitsu Kosan Co Ltd     (982,700
    (106,200   Isetan Mitsukoshi Holdings Ltd     (569,999
    (20,700   Japan Airport Terminal Co Ltd     (1,199,010
    (23,700   Japan Exchange Group Inc     (586,328
    (264   Japan Real Estate Investment Corp     (1,367,484
    (159,700   JGC Holding Corp     (1,421,828
    (91,200   Keikyu Corp     (1,559,988
    (2,900   Kintetsu Group Holdings Co Ltd     (128,444
    (72,300   Kyushu Electric Power Co Inc     (609,184
    (19,900   LINE Corp *     (1,025,447
    (43,900   LIXIL Group Corp     (1,050,515
    (20,400   M3 Inc     (1,877,243
    (30,200   McDonald’s Holdings Co Japan Ltd     (1,464,851
    (18,900   Mercari Inc *     (863,111
    (21,700   Mitsubishi Materials Corp     (410,270
    (40,400   Mitsubishi Motors Corp *     (72,686
    (26,300   MonotaRO Co Ltd     (1,599,746
    (15,500   Nihon M&A Center Inc     (1,083,042
    (15,000   Nippon Paint Holdings Co Ltd     (1,921,903
    (72,600   Nippon Yusen KK     (1,576,981
    (1,300   Nissin Foods Holdings Co Ltd     (107,294
    (14,400   Odakyu Electric Railway Co Ltd     (435,910
    (2,900   ORIENTAL LAND CO LTD     (492,580
    (90,500   Sharp Corp     (1,210,009
    (4,300   Yaskawa Electric Corp     (206,309
     

 

 

 
    Total Japan     (28,539,652
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Netherlands — (0.2)%      
    (798   Adyen NV *     (1,524,303
    (292,002   Altice Europe NV *     (1,536,128
    (12,058   Just Eat Takeaway.com NV *     (1,283,236
     

 

 

 
    Total Netherlands     (4,343,667
     

 

 

 
          Norway — (0.0)%      
    (3,729   Schibsted ASA – B Shares *     (135,619
     

 

 

 
          Peru — (0.0)%      
    (19,800   Southern Copper Corp     (1,175,526
     

 

 

 
          Russia — (0.0)%      
    (26,941   Magnit PJSC Sponsored GDR (Registered)     (404,824
     

 

 

 
          Singapore — (0.1)%      
    (221,000   Singapore Exchange Ltd     (1,457,186
     

 

 

 
          Spain — (0.4)%      
    (866,121   Bankia SA     (1,489,703
    (24,218   Cellnex Telecom SA     (1,534,126
    (52,488   Endesa SA     (1,508,640
    (55,008   Ferrovial SA     (1,536,120
    (49,223   Siemens Gamesa Renewable Energy SA     (1,765,326
     

 

 

 
    Total Spain     (7,833,915
     

 

 

 
          Sweden — (0.1)%      
    (13,767   Evolution Gaming Group AB     (1,171,395
    (62,853   Lundin Energy AB     (1,501,590
     

 

 

 
    Total Sweden     (2,672,985
     

 

 

 
          Switzerland — (0.2)%      
    (1   Chocoladefabriken Lindt & Spruengli AG (Registered)     (89,487
    (261   Partners Group Holding AG     (281,405
    (1,306   Straumann Holding AG (Registered)     (1,507,508
    (17,712   Swiss Re AG     (1,618,269
     

 

 

 
    Total Switzerland     (3,496,669
     

 

 

 
          United Kingdom — (0.7)%      
    (21,024   Admiral Group Plc     (791,909
    (37,051   Antofagasta Plc     (611,824
    (191,455   Auto Trader Group Plc     (1,424,019
    (496,619   ConvaTec Group Plc     (1,366,015
    (31,050   Experian Plc     (1,100,098
    (115,622   GVC Holdings Plc *     (1,588,735
    (17,061   Halma Plc     (502,011
    (73,810   Hargreaves Lansdown Plc     (1,397,939
    (204,775   Informa Plc *     (1,434,407
    (20,192   Land Securities Group Plc (REIT)     (176,588
    (13,413   London Stock Exchange Group Plc     (1,446,614
    (46,654   Ocado Group Plc *     (1,371,684
    (17,376   Prudential Plc     (267,203
     Shares     Description       
Value ($)
 
          United Kingdom — continued      
    (2,953   Spirax-Sarco Engineering Plc     (434,992
     

 

 

 
    Total United Kingdom     (13,914,038
     

 

 

 
          United States — (4.2)%      
    (13,600   Advanced Micro Devices, Inc. *     (1,260,176
    (24,700   AES Corp. (The)     (504,868
    (500   Align Technology, Inc. *     (240,645
    (6,500   American Tower Corp. (REIT)     (1,502,800
    (135,600   Apache Corp.     (1,747,884
    (7,500   Arthur J Gallagher & Co.     (865,575
    (5,100   Autodesk, Inc. *     (1,429,173
    (6,800   Avalara, Inc. *     (1,167,900
    (5,800   Ball Corp.     (556,858
    (5,000   Black Knight, Inc. *     (458,100
    (27,700   Blackstone Group , Inc. (The) – Class A     (1,649,535
    (5,500   Burlington Stores, Inc. *     (1,201,970
    (1,600   Catalent, Inc. *     (153,824
    (29,900   Cheniere Energy, Inc. *     (1,695,031
    (1,200   Chipotle Mexican Grill, Inc. *     (1,547,316
    (11,400   Cognex Corp.     (856,596
    (600   CoStar Group, Inc. *     (546,342
    (4,000   Coupa Software, Inc. *     (1,315,640
    (8,700   Crowdstrike Holdings, Inc. – Class A *     (1,333,536
    (12,100   Datadog, Inc. – Class A *     (1,196,932
    (3,900   DexCom, Inc. *     (1,246,752
    (7,600   Digital Realty Trust, Inc. (REIT)     (1,024,100
    (6,900   DocuSign, Inc. *     (1,572,372
    (264,600   Endo International Plc *     (1,344,168
    (6,200   Equifax, Inc.     (1,034,780
    (1,900   Equinix, Inc. (REIT)     (1,325,801
    (23,800   Equity LifeStyle Properties, Inc. (REIT)     (1,394,442
    (700   Erie Indemnity Co. – Class A     (157,927
    (12,300   Exact Sciences Corp. *     (1,489,038
    (2,300   Extra Space Storage, Inc. (REIT)     (259,279
    (4,100   Fastenal Co.     (202,745
    (14,300   Guidewire Software, Inc. *     (1,751,464
    (2,400   Hologic, Inc. *     (165,912
    (2,100   IDEXX Laboratories, Inc. *     (968,058
    (11,600   IHS Markit Ltd.     (1,153,736
    (15,900   Ingersoll Rand, Inc. *     (703,893
    (6,200   Insulet Corp. *     (1,597,802
    (7,500   IQVIA Holdings, Inc. *     (1,267,425
    (18,600   Lamb Weston Holdings, Inc.     (1,346,268
    (4,300   Liberty Broadband Corp. – Class A *     (674,111
    (5,600   Liberty Broadband Corp. – Class C *     (881,160
    (36,800   Liberty Media Corp-Liberty Formula One – Class C *     (1,537,504
    (21,800   Live Nation Entertainment, Inc. *     (1,431,170
    (900   Lululemon Athletica, Inc. *     (333,198
    (2,700   MarketAxess Holdings, Inc.     (1,455,786
    (5,900   MongoDB, Inc. *     (1,695,129
    (4,000   MSCI, Inc.     (1,637,680
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — continued      
    (8,500   NIKE Inc. – Class B     (1,144,950
    (28,800   Nuance Communications, Inc. *     (1,242,144
    (6,800   Okta, Inc. *     (1,666,272
    (3,000   Paycom Software, Inc. *     (1,251,240
    (7,800   Pinterest, Inc. – Class A *     (546,156
    (4,600   Public Storage (REIT)     (1,032,516
    (5,100   RingCentral, Inc. – Class A *     (1,514,955
    (1,700   Rockwell Automation, Inc.     (434,452
    (5,200   Roku, Inc. *     (1,526,564
    (17,500   Rollins, Inc.     (1,000,650
    (3,000   ServiceNow, Inc. *     (1,603,650
    (40,000   Slack Technologies Inc. – Class A *     (1,715,200
    (41,000   Snap, Inc. – Class A*     (1,821,220
    (128,300   Southwestern Energy Co. *     (399,013
    (7,100   Splunk, Inc. *     (1,449,678
    (6,100   Square, Inc. – Class A *     (1,286,856
    (11,500   Starbucks Corp.     (1,127,230
    (3,100   Sun Communities, Inc. (REIT)     (430,900
    (3,400   Sunrun, Inc. *     (217,872
    (70,000   Targa Resources Corp.     (1,645,000
    (6,000   Teladoc Health, Inc. *     (1,192,620
    (3,900   Tesla, Inc. *     (2,213,640
    (5,100   Twilio, Inc. – Class A *     (1,632,459
    (38,500   UDR, Inc. (REIT)     (1,481,095
    (4,300   Vail Resorts, Inc.     (1,186,112
     Shares     Description       
Value ($)
 
          United States — continued      
    (1,300   West Pharmaceutical Services, Inc.     (357,708
    (52,600   Williams Cos, Inc. (The)     (1,103,548
    (1,800   Workday, Inc. – Class A *     (404,622
    (16,300   Wynn Resorts Ltd.     (1,638,150
    (400   XPO Logistics, Inc. *     (42,672
    (14,700   Zillow Group, Inc. – Class C *     (1,584,807
    (800   Zoetis, Inc.     (128,304
    (2,700   Zoom Video Communications, Inc. – Class A *     (1,291,572
    (7,800)     Zscaler, Inc. *     (1,214,850
     

 

 

 
    Total United States     (89,411,078
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $176,004,844)
    (189,903,679
     

 

 

 
         

RIGHTS/WARRANTS — (0.0)%

     
          Spain — (0.0)%      
    (41,811   Ferrovial SA, Expires 11/23/20 *     (11,914
     

 

 

 
    TOTAL RIGHTS/WARRANTS (PROCEEDS $9,790)     (11,914
     

 

 

 
    TOTAL SECURITIES SOLD SHORT (PROCEEDS $176,014,634)     (189,915,593
    Other Assets and Liabilities (net) — 0.1%     2,804,977  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,124,082,338  
     

 

 

 
 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/19/2021   MSCI   AUD     34,183,300     USD     24,408,747       (695,905
02/08/2021   BCLY   AUD     26,050,000     USD     18,767,123       (366,955
02/08/2021   DB   AUD     950,000     USD     678,189       (19,599
02/02/2021   CITI   BRL     2,117,973     USD     390,000       (4,894
01/13/2021   BOA   CHF     1,651,792     USD     1,810,000       (10,709
01/13/2021   JPM   CHF     3,845,361     USD     4,240,000       1,399  
01/13/2021   MSCI   CHF     13,280,108     USD     14,486,074       (152,104
12/02/2020   MSCI   CLP     1,719,676,000     USD     2,230,234       (26,854
12/02/2020   MSCI.   CLP     227,250,000     USD     296,172       (2,095
02/03/2021   MSCI   COP     6,992,625,000     USD     1,825,751       (113,518
02/16/2021   CITI   CZK     18,356,684     USD     819,861       (15,099
01/19/2021   DB   EUR     6,685,900     USD     7,846,358       (140,777
01/19/2021   GS   EUR     73,506,550     USD     86,585,675       (1,227,003
01/19/2021   MSCI   EUR     32,557,600     USD     38,584,705       (309,380
01/19/2021   SSB   EUR     40,948,950     USD     48,010,773       (907,820
01/27/2021   BOA   EUR     370,000     USD     438,180       (3,910
01/13/2021   MSCI   GBP     2,040,000     USD     2,697,957       (23,469
01/19/2021   JPM   GBP     11,756,500     USD     15,213,758       (470,280
01/19/2021   MSCI   GBP     11,756,500     USD     15,198,509       (485,528
01/19/2021   SSB   GBP     16,748,900     USD     22,154,534       (189,733
01/19/2021   SSB   HKD     134,689,400     USD     17,371,935       (6,311
01/13/2021   MSCI   HUF     547,093,860     USD     1,795,148       (24,066
02/16/2021   CITI   IDR     2,700,356,000     USD     190,000       551  
02/16/2021   JPM   IDR     5,231,160,000     USD     360,000       (7,002

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/29/2021   BOA   ILS     1,035,135     USD     310,000       (3,057
01/22/2021   BCLY   INR     23,102,750     USD     310,000       (461
01/22/2021   JPM   INR     24,835,140     USD     330,000       (3,742
01/19/2021   BOA   JPY     6,970,876,867     USD     66,363,718       (474,667
01/19/2021   DB   JPY     3,370,746,033     USD     32,085,964       (233,531
01/19/2021   JPM   JPY     1,345,354,900     USD     12,948,104       48,529  
01/19/2021   MSCI   JPY     3,015,104,700     USD     29,022,733       113,210  
02/09/2021   BOA   JPY     115,453,431     USD     1,110,000       2,719  
02/09/2021   JPM   JPY     122,491,517     USD     1,180,000       5,218  
02/24/2021   GS   JPY     1,875,151,766     USD     18,064,750       77,546  
02/24/2021   MSCI   JPY     3,750,303,534     USD     36,132,734       158,326  
01/20/2021   JPM   NOK     29,288,943     USD     3,181,599       (111,611
02/05/2021   BCLY   NZD     1,350,000     USD     901,352       (45,349
02/05/2021   JPM   NZD     6,460,000     USD     4,393,683       (136,455
02/05/2021   MSCI   NZD     14,290,000     USD     9,511,495       (509,507
02/02/2021   MSCI   PEN     2,268,770     USD     626,810       (2,425
12/03/2020   JPM   PHP     8,232,250     USD     170,000       (1,184
12/03/2020   MSCI   PHP     16,135,830     USD     333,316       (2,218
01/25/2021   JPM   PHP     24,368,080     USD     504,515       (772
02/16/2021   DB   PLN     1,685,679     USD     450,000       653  
02/26/2021   BOA   RON     668,386     USD     162,192       (625
02/16/2021   BCLY   RUB     60,785,762     USD     780,000       (10,379
02/16/2021   MSCI   RUB     23,368,260     USD     300,000       (3,850
02/05/2021   BCLY   SEK     4,685,558     USD     540,000       (7,016
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
02/05/2021   JPM   SEK     20,515,735     USD     2,380,000       (15,113
01/15/2021   BCLY   SGD     240,806     USD     180,000       444  
12/07/2020   BCLY   TWD     7,972,160     USD     280,000       709  
12/07/2020   CITI   TWD     6,854,208     USD     240,000       (125
12/07/2020   JPM   TWD     3,977,960     USD     140,000       639  
12/07/2020   MSCI   TWD     11,736,192     USD     411,075       (82
01/19/2021   DB   USD     3,445,569     AUD     4,866,400       128,377  
02/08/2021   BOA   USD     922,292     AUD     1,290,000       25,231  
02/02/2021   JPM   USD     683,173     BRL     3,923,256       48,314  
02/03/2021   JPM   USD     9,908,468     CAD     13,176,528       241,271  
02/03/2021   MSCI   USD     9,910,665     CAD     13,176,527       239,072  
12/02/2020   MSCI   USD     2,171,167     CLP     1,666,466,000       16,082  
12/02/2020   MSCI.   USD     370,000     CLP     280,460,000       (1,894
02/26/2021   MSCI   USD     1,259,168     CLP     973,463,000       20,882  
02/03/2021   MSCI   USD     420,000     COP     1,518,380,000       1,093  
02/16/2021   BOA   USD     260,000     CZK     5,786,739       3,212  
02/16/2021   CITI   USD     180,000     CZK     3,990,942       1,529  
02/16/2021   DB   USD     280,000     CZK     6,119,851       (1,637
01/19/2021   BOA   USD     16,112,076     EUR     13,792,826       365,163  
01/19/2021   DB   USD     8,912,054     EUR     7,532,200       86,092  
01/19/2021   MSCI   USD     8,391,554     EUR     7,187,774       195,132  
01/27/2021   DB   USD     12,523,927     EUR     10,545,000       75,651  
01/27/2021   JPM   USD     7,183,628     EUR     6,040,000       33,200  
01/13/2021   MSCI   USD     5,622,479     GBP     4,345,000       173,892  
01/19/2021   DB   USD     7,423,528     GBP     5,745,100       240,859  
01/19/2021   MSCI   USD     3,192,064     GBP     2,441,700       65,344  
01/19/2021   SSB   USD     1,900,011     GBP     1,444,900       27,592  
01/19/2021   SSB   USD     3,844,236     HKD     29,802,500       1,019  
02/16/2021   JPM   USD     931,705     IDR     13,861,913,000       40,804  
01/29/2021   MSCI   USD     1,065,657     ILS     3,611,297       26,511  

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/22/2021   JPM   USD     186,672     INR     13,850,098       (550
01/19/2021   BOA   USD     3,854,745     JPY     405,167,200       30,092  
01/19/2021   BONY   USD     2,594,085     JPY     270,788,000       2,293  
01/19/2021   CITI   USD     2,445,363     JPY     255,333,600       2,835  
02/09/2021   BOA   USD     4,650,000     JPY     487,210,785       22,702  
02/09/2021   MSCI   USD     12,425,895     JPY     1,287,912,940       (73,884
02/19/2021   MSCI   USD     1,688,951     KRW     1,868,385,160       (4,236
01/21/2021   BOA   USD     420,000     MXN     8,780,009       12,156  
01/21/2021   CITI   USD     330,000     MXN     7,036,432       16,336  
01/21/2021   GS   USD     360,000     MXN     7,712,060       19,591  
01/21/2021   MSCI   USD     631,335     MXN     13,456,437       30,997  
01/20/2021   JPM   USD     2,850,000     NOK     26,230,670       99,341  
02/05/2021   JPM   USD     4,213,079     NZD     6,280,000       190,832  
02/02/2021   MSCI   USD     760,000     PEN     2,728,000       (3,399
12/03/2020   JPM   USD     505,562     PHP     24,368,080       1,156  
02/16/2021   MSCI   USD     651,964     PLN     2,473,211       7,313  
02/16/2021   BCLY   USD     85,248     RUB     6,645,694       1,164  
02/05/2021   BCLY   USD     17,139,423     SEK     152,535,720       668,387  
02/05/2021   JPM   USD     1,610,000     SEK     14,482,713       80,787  
01/15/2021   GS   USD     270,000     SGD     366,616       3,366  
01/15/2021   MSCI   USD     280,000     SGD     379,411       2,906  
01/15/2021   BOA   USD     660,000     THB     20,607,939       21,120  
02/16/2021   BCLY   USD     1,810,000     TRY     14,428,777       (16,759
12/07/2020   JPM   USD     1,059,919     TWD     30,540,520       10,015  
02/02/2021   MSCI   USD     414,706     TWD     11,736,192       (146
01/29/2021   DB   USD     510,000     ZAR     8,384,318       27,373  
01/29/2021   MSCI   USD     1,123,904     ZAR     18,554,870       65,326  
           

 

 

 
            $ (3,085,332
           

 

 

 
 

 

Futures Contracts

 

Number

of

Contracts +

 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
214   Mini MSCI Emerging Markets   December 2020     12,864,610       456,630  
     

 

 

   

 

 

 
Sales  
1,490   E-mini Russell 2000 Index   December 2020     135,597,450       (24,074,439
3,586   Euro STOXX 50   December 2020     149,783,388       (8,531,253
481   FTSE 100 Index   December 2020     40,125,038       (1,589,820

Number

of

Contracts +

 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
79   Hang Seng Index   December 2020     13,451,283       94,099  
1,619   S&P 500 E-Mini   December 2020     293,298,040       (21,625,443
76   SGX Nifty 50   December 2020     1,965,062       2,566  
180   SPI 200   December 2020     21,530,134       (2,054,563
1,122   TOPIX Index   December 2020     188,371,580       (14,714,612
     

 

 

   

 

 

 
  $ 844,121,975     $ (72,493,465
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

  

Sales - Fund is short the futures contract.

 

 

Reverse Repurchase Agreements

 

Average balance outstanding

   $ (20,500,000

Average interest rate (net)

     (0.65 )% 

Maximum balance outstanding

   $ (20,500,000

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.


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 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) ($)
 

3 Month AUD BBSW

   0.15%   AUD      10,276,000        12/16/2022      Quarterly      1,263       10,398       9,135  

3 Month AUD BBSW

   0.10%   AUD      15,130,000        12/16/2022      Quarterly      (731     4,210       4,941  

0.07%

   3 Month AUD BBSW   AUD      16,180,000        12/16/2022      Quarterly            2,027       2,027  

(0.67)%

   6 Month CHF LIBOR   CHF      12,560,000        12/16/2022      Semi-Annually      3,045       (9,694     (12,739

6 Month CHF LIBOR

   (0.72)%   CHF      8,670,000        12/16/2022      Semi-Annually      (59     (1,224     (1,165

0.18%

   3 Month NZD Bank Bill Rate   NZD      97,930,000        12/16/2022      Quarterly      19,063       90,433       71,370  

(0.05)%

   3 Month SEK STIBOR   SEK      63,000,000        12/16/2022      Quarterly      615       932       317  

3 Month SEK STIBOR

   (0.04)%   SEK      61,900,000        12/16/2022      Quarterly      179       529       350  

3 Month SEK STIBOR

   (0.03)%   SEK      77,300,000        12/16/2022      Quarterly            1,111       1,111  

0.56%

   3 Month CAD LIBOR   CAD      27,170,000        12/19/2022      Semi-Annually      3,401       (3,241     (6,642

0.55%

   3 Month CAD LIBOR   CAD      9,820,000        12/19/2022      Semi-Annually            (109     (109

0.55%

   3 Month CAD LIBOR   CAD      9,280,000        12/19/2022      Semi-Annually            328       328  

6 Month EURIBOR

   (0.48)%   EUR      10,270,000        12/21/2022      Semi-Annually      3,004       9,667       6,663  

6 Month GBP LIBOR

   0.08%   GBP      46,660,000        12/21/2022      Semi-Annually      18,561       (11,318     (29,879

3 Month USD LIBOR

   0.23%   USD      4,085,000        12/21/2022      Quarterly      24       (579     (603

3 Month USD LIBOR

   0.24%   USD      11,090,000        12/21/2022      Quarterly      (4,423     1,777       6,200  

6 Month AUD BBSW

   0.79%   AUD      7,060,000        12/16/2030      Semi-Annually      733       (54,640     (55,373

0.93%

   6 Month AUD BBSW   AUD      2,200,000        12/16/2030      Semi-Annually            (5,298     (5,298

6 Month AUD BBSW

   0.89%   AUD      3,380,000        12/16/2030      Semi-Annually            (224     (224

0.87%

   6 Month AUD BBSW   AUD      2,130,000        12/16/2030      Semi-Annually      (1,673     3,655       5,328  

0.76%

   6 Month AUD BBSW   AUD      3,140,000        12/16/2030      Semi-Annually      1,688       29,706       28,018  

0.77%

   6 Month AUD BBSW   AUD      600,000        12/16/2030      Semi-Annually            5,160       5,160  

0.88%

   6 Month AUD BBSW   AUD      1,690,000        12/16/2030      Semi-Annually            2,293       2,293  

3 Month CAD LIBOR

   1.11%   CAD      3,450,000        12/16/2030      Semi-Annually      (982     (22,130     (21,148

3 Month CAD LIBOR

   1.09%   CAD      6,150,000        12/16/2030      Semi-Annually            (49,055     (49,055

3 Month CAD LIBOR

   1.09%   CAD      1,090,000        12/16/2030      Semi-Annually            (8,856     (8,856

3 Month CAD LIBOR

   1.11%   CAD      2,100,000        12/16/2030      Semi-Annually            (14,095     (14,095

3 Month CAD LIBOR

   1.13%   CAD      3,360,000        12/16/2030      Semi-Annually            (17,555     (17,555

3 Month CAD LIBOR

   1.15%   CAD      850,000        12/16/2030      Semi-Annually            (3,177     (3,177

3 Month CAD LIBOR

   1.28%   CAD      16,700,000        12/16/2030      Semi-Annually      (4,563     99,050       103,613  

3 Month CAD LIBOR

   1.23%   CAD      4,330,000        12/16/2030      Semi-Annually      3,995       9,580       5,585  

3 Month CAD LIBOR

   1.20%   CAD      31,580,000        12/16/2030      Semi-Annually      (53,455     (588     52,867  

6 Month CHF LIBOR

   (0.30)%   CHF      26,200,000        12/16/2030      Semi-Annually      (10,370     (26,442     (16,072

(0.27)%

   6 Month CHF LIBOR   CHF      1,620,000        12/16/2030      Semi-Annually            (4,785     (4,785

(0.29)%

   6 Month CHF LIBOR   CHF      2,640,000        12/16/2030      Semi-Annually            (1,819     (1,819

6 Month CHF LIBOR

   (0.26)%   CHF      2,220,000        12/16/2030      Semi-Annually      (3,221     9,071       12,292  

(0.32)%

   6 Month CHF LIBOR   CHF      1,440,000        12/16/2030      Semi-Annually            4,714       4,714  

3 Month NZD Bank Bill Rate

   0.55%   NZD      9,100,000        12/16/2030      Quarterly      16,857       (205,702     (222,559

3 Month NZD Bank Bill Rate

   0.46%   NZD      4,550,000        12/16/2030      Quarterly      (2,514     (133,570     (131,056

3 Month NZD Bank Bill Rate

   0.48%   NZD      7,930,000        12/16/2030      Quarterly      197       (221,979     (222,176

3 Month NZD Bank Bill Rate

   0.74%   NZD      1,930,000        12/16/2030      Quarterly            (19,474     (19,474

3 Month NZD Bank Bill Rate

   0.81%   NZD      2,260,000        12/16/2030      Quarterly      379       (12,400     (12,779

3 Month NZD Bank Bill Rate

   0.78%   NZD      21,590,000        12/16/2030      Quarterly      (38,974     (155,274     (116,300

3 Month NZD Bank Bill Rate

   0.82%   NZD      13,370,000        12/16/2030      Quarterly      (1,225     (56,493     (55,268

3 Month NZD Bank Bill Rate

   0.86%   NZD      15,930,000        12/16/2030      Quarterly      (1,940     (27,657     (25,717

0.59%

   3 Month NZD Bank Bill Rate   NZD      17,360,000        12/16/2030      Quarterly      (8,024     354,531       362,555  

0.85%

   3 Month NZD Bank Bill Rate   NZD      1,920,000        12/16/2030      Quarterly            5,298       5,298  

3 Month SEK STIBOR

   0.30%   SEK      10,500,000        12/16/2030      Quarterly            (5,212     (5,212

0.37%

   3 Month SEK STIBOR   SEK      20,200,000        12/16/2030      Quarterly      120       (4,580     (4,700

0.39%

   3 Month SEK STIBOR   SEK      18,320,000        12/16/2030      Quarterly            (9,664     (9,664

0.39%

   3 Month SEK STIBOR   SEK      15,700,000        12/16/2030      Quarterly            (8,100     (8,100

3 Month SEK STIBOR

   0.34%   SEK      125,570,000        12/16/2030      Quarterly      (32,265     (15,114     17,151  

0.30%

   3 Month SEK STIBOR   SEK      16,100,000        12/16/2030      Quarterly            9,016       9,016  

0.31%

   3 Month SEK STIBOR   SEK      21,600,000        12/16/2030      Quarterly            9,097       9,097  

(0.18)%

   6 Month EURIBOR   EUR      30,830,000        12/18/2030      Semi-Annually      21,772       (270,823     (292,595

(0.21)%

   6 Month EURIBOR   EUR      26,530,000        12/18/2030      Semi-Annually      (12,833     (151,643     (138,810


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Centrally Cleared Interest Rate Swaps — continued

 

Fund Pays

   Fund Receives   

Notional

Amount

     Expiration
Date
    

Periodic
Payment
Frequency

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

(0.18)%

   6 Month EURIBOR    EUR      2,050,000        12/18/2030      Semi-Annually      (7,655     (19,266     (11,611

0.45%

   6 Month GBP LIBOR    GBP      10,010,000        12/18/2030      Semi-Annually      (3,889     38,625       42,514  

0.36%

   6 Month GBP LIBOR    GBP      1,170,000        12/18/2030      Semi-Annually      (103     18,475       18,578  

6 Month GBP LIBOR

   0.54%    GBP      1,680,000        12/18/2030      Semi-Annually      4,286       12,450       8,164  

6 Month GBP LIBOR

   0.53%    GBP      2,480,000        12/18/2030      Semi-Annually      3,634       16,077       12,443  

3 Month USD LIBOR

   0.82%    USD      1,880,000        12/18/2030      Quarterly      (874     (5,775     (4,901

3 Month USD LIBOR

   0.75%    USD      1,130,000        12/18/2030      Quarterly      280       (11,219     (11,499

0.86%

   3 Month USD LIBOR    USD      1,500,000        12/18/2030      Quarterly            (975     (975

0.85%

   3 Month USD LIBOR    USD      1,500,000        12/18/2030      Quarterly            (20     (20

0.85%

   3 Month USD LIBOR    USD      3,090,000        12/18/2030      Quarterly            (193     (193

0.86%

   3 Month USD LIBOR    USD      3,060,000        12/18/2030      Quarterly            (3,638     (3,638

0.88%

   3 Month USD LIBOR    USD      3,270,000        12/18/2030      Quarterly            (8,692     (8,692

0.70%

   3 Month USD LIBOR    USD      6,080,000        12/18/2030      Quarterly      7,966       90,137       82,171  

0.88%

   3 Month USD LIBOR    USD      27,690,000        12/18/2030      Quarterly      (101,961     (80,387     21,574  
                 

 

 

   

 

 

   

 

 

 
   $ (180,672   $ (824,332   $ (643,660
                 

 

 

   

 

 

   

 

 

 

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        2,245,935      12/07/2020      Monthly               (7,417     (7,417

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 0.75%
   GS      USD        845,043      05/24/2022      Monthly               10,552       10,552  

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 0.75%
   GS      USD        187,066      05/24/2022      Monthly               6,869       6,869  

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 0.50%
   GS      USD        541,292      05/24/2022      Monthly               59,962       59,962  

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 0.75%
   GS      USD        89,803      05/24/2022      Monthly               (1,534     (1,534

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 0.50%
   GS      USD        35,053      05/24/2022      Monthly               676       676  

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 0.75%
   GS      USD        107,922      05/24/2022      Monthly               575       575  

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 1.00%
   MORD      USD        1      06/20/2022      Monthly                      

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 1.00%
   MORD      USD        329,064      10/18/2022      Monthly               19,331       19,331  

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 0.40%
   MORD      USD        15,904,466      10/18/2022      Monthly               (333,636     (333,636

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus0.50%
   MORD      USD        77,076      10/18/2022      Monthly               6       6  

Total Return on Equity Basket (i)

   1 Month Federal Funds Rate
minus 0.40%
   MORD      USD        249,253      10/18/2022      Monthly               660       660  
                    

 

 

    

 

 

   

 

 

 
   $      $ (243,956   $ (243,956
                    

 

 

    

 

 

   

 

 

 

As of November 30, 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 Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

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)

Investment valued using significant unobservable inputs.

 

(d)

Securities are traded on separate exchanges for the same entity.

 

(e)

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.

 

(f)

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

 

(g)

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

 

(h)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 

(i)

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 November 30, 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

CVA - Certificaaten van aandelen (Share Certificates)

ETF - Exchange-Traded Fund

EURIBOR - Euro Interbank Offered Rate

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

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

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.

BONY – Bank of New York

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

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 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

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

RON - Romanian Leu

RUB - Russian Ruble

SEK - Swedish Krona

SGD - Singapore Dollar

THB - Thai Baht

TWD - Taiwan Dollar

USD - United States Dollar

ZAR - South African Rand

 
 


GMO Global Asset Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    

Shares /

Par Value†

    Description   Value ($)  
    MUTUAL FUNDS — 99.0%  
    Affiliated Issuers — 99.0%  
    4,711,974     GMO Alternative Allocation Fund, Class VI     93,202,854  
    2,551,459     GMO Asset Allocation Bond Fund, Class VI     61,617,736  
    1,156,435     GMO Cyclical Focus Fund, Class IV     32,229,842  
    1,211,213     GMO Emerging Country Debt Fund, Class IV     33,247,794  
    5,442,744     GMO Emerging Markets Fund, Class VI     184,835,587  
    7,537,169     GMO International Equity Fund, Class IV     168,003,507  
    1,813,768     GMO-Usonian Japan Value Creation Fund, Class VI     39,086,693  
    5,854,275     GMO Multi-Sector Fixed Income Fund (formerly GMO Core Plus Bond Fund), Class IV     131,018,672  
    717,569     GMO Opportunistic Income Fund, Class VI     18,771,610  
    709,061     GMO Quality Fund, Class VI     19,080,841  
    437,224     GMO Risk Premium Fund, Class VI     11,822,536  
    5,791,171     GMO U.S. Equity Fund, Class VI     75,922,248  
    2,756,108     GMO U.S. Small Cap Value Fund, Class VI     56,720,710  
    377,597     GMO U.S. Treasury Fund     1,903,090  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $912,499,519)
    927,463,720  
     

 

 

 
          DEBT OBLIGATIONS — 0.0%  
          Asset-Backed Securities — 0.0%  
    20,807     ACE Securities Corp Home Equity Loan Trust, Series 06-ASL1, Class A,Variable Rate, 1 mo. LIBOR + 0.28%, 0.43%, due 02/25/36     5,752  
    

Par Value† /

Shares

    Description   Value ($)  
          Asset-Backed Securities — continued  
    10,749     GMACM Home Equity Loan Trust, Series 04-HE3, Class A3, FSA, Variable Rate, 1 mo. LIBOR + 0.50%, 0.65%, due 10/25/34     10,144  
    11,360     Mellon Re-REMIC Pass-Through Trust, Series 04-TBC1, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.25%, 0.39%, due 02/26/34     9,686  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $28,956)
    25,582  
     

 

 

 
    SHORT-TERM INVESTMENTS — 0.0%

 

    Money Market Funds — 0.0%  
    285,577     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (a)     285,577  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $285,577)
    285,577  
     

 

 

 
    TOTAL INVESTMENTS — 99.0%
(Cost $912,814,052)
    927,774,879  
    Other Assets and Liabilities (net) — 1.0%     9,492,402  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $937,267,281  
     

 

 

 
 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net Unrealized
Appreciation
(Depreciation)
($)
 
1/19/21   SSB     JPY       2,269,278,600       USD       21,770,812       12,442  
2/24/21   SSB     JPY       1,843,558,600       USD       17,761,185       77,035  
           

 

 

 
            $ 89,477  
           

 

 

 

Futures Contracts

 

Number
of
Contracts +

   Type    Expiration
Date
   Notional
Amount
($)
     Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales            
287    MSCI EAFE    December 2020      29,173,550        (1,593,404
237    TOPIX Index    December 2020      39,789,719        (2,682,310
        

 

 

    

 

 

 
   $ 68,963,269      $ (4,275,714
        

 

 

    

 

 

 

 

+

Buys - Fund is long the futures contract.

  

Sales - Fund is short the futures contract.

 

 

As of November 30, 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)

The rate disclosed is the 7 day net yield as of November 30, 2020.

The rates shown on variable rate notes are the current interest rates at November 30, 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.

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

LIBOR - London Interbank Offered Rate

 

 

Counterparty Abbreviations:

SSB - State Street Bank and Trust Company

Currency Abbreviations:

JPY - Japanese Yen

USD - United States Dollar


GMO Global Developed Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 99.9%  
    Affiliated Issuers — 99.9%  
    155,500     GMO Cyclical Focus Fund, Class IV     4,333,785  
    229,957     GMO Emerging Markets Fund, Class VI     7,809,337  
    1,492,348     GMO International Equity Fund, Class IV     33,264,445  
    145,092     GMO-Usonian Japan Value Creation Fund, Class VI     3,126,725  
    366,350     GMO Quality Fund, Class VI     9,858,481  
    969,980     GMO U.S. Equity Fund, Class VI     12,716,436  
    384,765     GMO U.S. Small Cap Value Fund, Class VI     7,918,466  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $69,309,706)
    79,027,675  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%  
    58,155     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (a)     58,155  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $58,155)
    58,155  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $69,367,861)
    79,085,830  
    Other Assets and Liabilities (net) — (0.0%)     (34,712
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $79,051,118  
     

 

 

 

Notes to Schedule of Investments:

(a) The rate disclosed is the 7 day net yield as of November 30, 2020.

 


GMO Global Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 100.0%  
    Affiliated Issuers — 100.0%  
    2,969,717     GMO Cyclical Focus Fund, Class VI     82,766,008  
    12,745,018     GMO Emerging Markets Fund, Class VI     432,820,810  
    24,008,750     GMO International Equity Fund, Class IV     535,155,033  
    2,940,296     GMO-Usonian Japan Value Creation Fund, Class VI     63,363,378  
    8,083,794     GMO Quality Fund, Class VI     217,534,890  
    7,522,862     GMO U.S. Equity Fund, Class VI     98,624,725  
    7,672,549     GMO U.S. Small Cap Value Fund, Class VI     157,901,052  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $1,517,014,675)
    1,588,165,896  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    539,758     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (a)     539,758  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $539,758)
    539,758  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $1,517,554,433)
    1,588,705,654  
    Other Assets and Liabilities (net) — (0.0%)     (62,506
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,588,643,148  
     

 

 

 

Notes to Schedule of Investments:

(a) The rate disclosed is the 7 day net yield as of November 30, 2020.

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 78.9%  
          Argentina — 0.1%      
    74,700     Banco BBVA Argentina SA ADR *     239,040  
    17,400     Globant SA *     3,283,032  
    97,300     Grupo Financiero Galicia SA ADR     837,753  
     

 

 

 
    Total Argentina     4,359,825  
     

 

 

 
          Australia — 1.1%  
    237,711     Accent Group Ltd     377,049  
    120,256     Adairs Ltd     279,781  
    46,846     Ampol Ltd     1,053,614  
    109,822     Ansell Ltd     3,003,892  
    216,982     Asaleo Care Ltd     159,501  
    39,708     AUB Group Ltd     486,706  
    639,040     Australian Pharmaceutical Industries Ltd     564,701  
    48,776     Aventus Group (REIT)     95,642  
    23,659     BHP Group Ltd     659,761  
    335,871     BlueScope Steel Ltd     4,202,570  
    3,612     Brickworks Ltd     51,211  
    893,605     Coca-Cola Amatil Ltd     8,275,033  
    50,760     Codan Ltd (a)     393,777  
    45,930     Computershare Ltd     481,250  
    192,226     Coronado Global Resources Inc     148,801  
    409,817     Dexus (REIT)     2,936,209  
    1,148,987     Fortescue Metals Group Ltd     15,307,491  
    139,743     G8 Education Ltd (a)     120,405  
    82,845     GDI Property Group (REIT)     70,014  
    350,053     Genworth Mortgage Insurance Australia Ltd     679,445  
    1,174,271     GPT Group (The) (REIT)     4,058,555  
    155,490     JB Hi-Fi Ltd (a)     5,222,904  
    74,492     McMillan Shakespeare Ltd     649,776  
    728,166     Mirvac Group (REIT)     1,375,778  
    276,889     Mount Gibson Iron Ltd     152,087  
    56,042     Rio Tinto Ltd     4,181,238  
    358,390     Sandfire Resources NL     1,153,486  
    2,025,490     Scentre Group (REIT)     4,143,320  
    357,735     Sigma Healthcare Ltd * (a)     147,020  
    636,738     Stockland (REIT)     2,114,709  
    50,535     Tassal Group Ltd (a)     134,253  
    33,424     Virtus Health Ltd *     131,004  
     

 

 

 
    Total Australia     62,810,983  
     

 

 

 
          Austria — 0.0%  
    6,988     AT&S Austria Technologie & Systemtechnik AG     167,045  
    1,959     Vienna Insurance Group AG Wiener Versicherung Gruppe     46,669  
     

 

 

 
    Total Austria     213,714  
     

 

 

 
    
Shares
    Description   Value ($)  
          Belgium — 0.3%  
    105,627     Ageas SA/NV     5,171,564  
    134,536     AGFA-Gevaert NV *     556,790  
    35,018     bpost SA     422,434  
    23,298     Econocom Group SA/NV (a)     65,691  
    11,129     Etablissements Franz Colruyt NV     663,308  
    2,978     Orange Belgium SA     57,493  
    792     Sofina SA     251,408  
    71,201     UCB SA     7,619,409  
     

 

 

 
    Total Belgium     14,808,097  
     

 

 

 
          Brazil — 0.8%  
    106,700     Banco Bradesco SA     431,190  
    423,800     Banco do Brasil SA     2,678,513  
    805,500     Camil Alimentos SA     1,674,930  
    523,120     Cia de Saneamento Basico do Estado de Sao Paulo     4,349,081  
    578,200     Cia de Saneamento do Parana     2,698,137  
    91,900     Cia Paranaense de Energia     1,117,916  
    1,097,800     Cielo SA     727,440  
    844,100     Cogna Educacao *     738,946  
    127,500     Dimed SA Distribuidora da Medicamentos     524,765  
    605,200     IRB Brasil Resseguros SA     748,960  
    136,600     Mahle-Metal Leve SA     489,041  
    233,100     Marfrig Global Foods SA *     638,725  
    3,664,100     Petrobras Distribuidora SA     14,041,134  
    86,200     Porto Seguro SA     762,661  
    284,200     Qualicorp Consultoria e Corretora de Seguros SA     1,759,606  
    568,000     Telefonica Brasil SA     4,744,466  
    217,300     TIM SA     547,164  
    394,600     Tupy SA *     1,579,903  
    296,600     WEG SA     4,073,032  
     

 

 

 
    Total Brazil     44,325,610  
     

 

 

 
          Canada — 1.1%  
    50,300     AGF Management Ltd – Class B     216,119  
    1,300     Bank of Montreal     93,423  
    140,142     Brookfield Asset Management Inc – Class A (a)     5,674,350  
    30,848     BRP Inc     1,759,859  
    40,000     Canaccord Genuity Group Inc (a)     275,352  
    33,800     Canadian Apartment Properties (REIT)     1,331,491  
    9,400     Canadian Imperial Bank of Commerce     792,417  
    5,100     Canadian Tire Corp Ltd – Class A     651,765  
    8,800     Canfor Pulp Products Inc     39,640  
    83,100     Cascades Inc     934,211  
    138,800     Celestica Inc *     1,045,248  
    114,100     CI Financial Corp     1,495,328  
    10,600     Cogeco Inc     649,288  
    214,500     Fortuna Silver Mines Inc * (a)     1,365,916  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Canada — continued  
    27,600     iA Financial Corp Inc     1,208,602  
    60,300     IGM Financial Inc     1,594,906  
    86,300     Imperial Oil Ltd (a)     1,493,820  
    24,200     Linamar Corp     1,114,687  
    65,500     Magna International Inc (a)     4,016,647  
    128,400     Manulife Financial Corp     2,187,951  
    35,800     Martinrea International Inc     391,989  
    6,100     Morguard North American Residential Real Estate Investment Trust     75,434  
    102,743     Nutrien Ltd     5,062,148  
    145,000     Power Corp of Canada     3,264,649  
    25,100     Real Matters Inc *     370,306  
    65,100     RioCan Real Estate Investment Trust     879,228  
    139,600     Royal Bank of Canada     11,400,613  
    15,900     Teekay Tankers Ltd – Class A * (a)     185,076  
    197,600     TELUS Corp (a)     3,811,411  
    23,200     TFI International Inc     1,177,239  
    134,700     Toronto-Dominion Bank (The) (a)     7,185,660  
    41,900     Tourmaline Oil Corp     583,316  
    11,800     Transat AT Inc * (a)     53,335  
    76,620     Transcontinental Inc – Class A     1,137,471  
    11,900     Wajax Corp     155,771  
    2,200     West Fraser Timber Co Ltd     121,816  
     

 

 

 
    Total Canada     63,796,482  
     

 

 

 
          Chile — 0.1%  
    1,586,260     Aguas Andinas SA – Class A     460,117  
    47,368     Empresa Nacional de Telecomunicaciones SA     287,229  
    288,600     Enel Americas SA ADR     2,095,236  
    14,339     Inversiones La Construccion SA     89,553  
     

 

 

 
    Total Chile     2,932,135  
     

 

 

 
          China — 14.0%  
    5,276,000     361 Degrees International Ltd     660,735  
    270,000     7Road Holdings Ltd *     92,429  
    9,263,000     Agile Group Holdings Ltd     13,374,302  
    59,867,000     Agricultural Bank of China Ltd – Class H     22,731,147  
    46,000     AK Medical Holdings Ltd     72,466  
    210,300     Alibaba Group Holding Ltd Sponsored ADR *     55,384,608  
    4,341,832     Anhui Conch Cement Co Ltd – Class H     27,752,398  
    463,372     Anhui Expressway Co Ltd – Class H     264,031  
    139,500     Asia Cement China Holdings Corp     139,282  
    16,565,500     BAIC Motor Corp Ltd – Class H     6,200,095  
    45,000     Baidu Inc Sponsored ADR * (b)     6,254,550  
    96,628,000     Bank of China Ltd – Class H     34,105,475  
    45,993,000     Bank of Communications Co Ltd – Class H     25,416,087  
    94,000     Beijing Enterprises Holdings Ltd     304,595  
    701,675     Beijing North Star Co Ltd – Class H     145,674  
    261,700     BEST Inc ADR *     766,781  
    
Shares
    Description   Value ($)  
          China — continued  
    152,600     BYD Co Ltd – Class A     3,969,684  
    147,000     BYD Electronic International Co Ltd     727,131  
    18,389,000     China Cinda Asset Management Co Ltd – Class H     3,580,802  
    4,209,000     China CITIC Bank Corp Ltd – Class H     1,820,565  
    1,934,000     China Communications Construction Co Ltd – Class H     1,002,451  
    8,546,485     China Communications Services Corp Ltd – Class H     4,554,614  
    44,202,803     China Construction Bank Corp – Class H     34,554,769  
    1,472,000     China Dongxiang Group Co Ltd     170,884  
    1,630,000     China Eastern Airlines Corp Ltd – Class H     736,029  
    6,245,000     China Everbright Bank Co Ltd – Class H     2,435,933  
    3,370,000     China Feihe Ltd     8,048,257  
    3,659,000     China Greenfresh Group Co Ltd * (c)     38,237  
    551,500     China Hongqiao Group Ltd     481,594  
    29,298,000     China Huarong Asset Management Co Ltd – Class H     3,358,699  
    3,066,000     China Jinmao Holdings Group Ltd     1,580,011  
    9,013,000     China Lesso Group Holdings Ltd     16,110,641  
    1,627,000     China Lilang Ltd     1,116,178  
    7,858,000     China Machinery Engineering Corp – Class H     1,642,939  
    9,350,925     China Medical System Holdings Ltd     9,547,867  
    4,101,500     China Mobile Ltd (b)     24,466,276  
    18,700     China Mobile Ltd Sponsored ADR     558,195  
    16,716,000     China National Building Material Co Ltd – Class H     21,915,177  
    3,174,000     China Oriental Group Co Ltd     951,203  
    246,000     China Overseas Grand Oceans Group Ltd     146,717  
    2,527,000     China Overseas Land & Investment Ltd     6,152,709  
    50,630,000     China Petroleum & Chemical Corp – Class H     22,744,991  
    15,768,700     China Railway Construction Corp Ltd – Class H     10,420,258  
    34,578,000     China Railway Group Ltd – Class H     17,068,396  
    1,707,000     China Railway Signal & Communication Corp Ltd – Class H     605,628  
    5,441,000     China Reinsurance Group Corp – Class H     575,615  
    1,918,000     China Resources Cement Holdings Ltd     2,382,017  
    56,000     China Resources Gas Group Ltd     269,902  
    2,550,000     China Resources Land Ltd     11,035,603  
    11,664,000     China Resources Pharmaceutical Group Ltd     6,306,813  
    1,627,000     China Shenhua Energy Co Ltd – Class H     3,137,955  
    2,203,000     China Shineway Pharmaceutical Group Ltd     1,507,005  
    229,000     China Taiping Insurance Holdings Co Ltd     404,944  
    32,112,000     China Telecom Corp Ltd – Class H     9,663,280  
    1,490,000     China Traditional Chinese Medicine Holdings Co Ltd     700,262  
    140,700     China Vanke Co Ltd – Class H     534,399  
    36,200     China Yuchai International Ltd     609,608  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          China — continued  
    3,526,800     China Zhongwang Holdings Ltd *     768,137  
    648,000     Chongqing Rural Commercial Bank Co Ltd – Class H     277,851  
    1,744,000     COSCO Shipping Energy Transportation Co Ltd – Class H     767,256  
    8,777,506     Country Garden Holdings Co Ltd     11,574,795  
    92,000     Country Garden Services Holdings Co Ltd     514,048  
    4,960,000     Dongfeng Motor Group Co Ltd – Class H     5,103,046  
    4,953,000     Dongyue Group Ltd     2,583,431  
    2,878,500     Fantasia Holdings Group Co Ltd *     560,401  
    404,000     Fosun International Ltd     582,984  
    1,300     G-bits Network Technology Xiamen Co Ltd – Class A     74,306  
    1,405,000     Geely Automobile Holdings Ltd     3,886,832  
    3,421,500     Great Wall Motor Co Ltd – Class H     6,918,784  
    822,000     Greenland Hong Kong Holdings Ltd     254,092  
    2,550,000     Guangdong Investment Ltd     4,228,149  
    1,334,000     Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd – Class H     3,429,742  
    2,770,800     Guangzhou R&F Properties Co Ltd – Class H     3,615,644  
    531,400     Guotai Junan Securities Co Ltd – Class H     782,799  
    680,000     Haier Electronics Group Co Ltd     3,241,635  
    885,000     Hebei Construction Group Corp Ltd – Class H     2,512,131  
    1,000     Hengan International Group Co Ltd     6,878  
    2,675,044     Hisense Home Appliances Group Co Ltd – Class A     6,072,303  
    1,529,000     Hisense Home Appliances Group Co Ltd – Class H     2,298,140  
    81,900     Hollysys Automation Technologies Ltd     1,032,759  
    898,000     Hopson Development Holdings Ltd     2,345,931  
    4,468,000     Huabao International Holdings Ltd     6,080,550  
    6,295,000     IGG Inc     6,282,742  
    29,812,400     Industrial & Commercial Bank of China Ltd – Class H     18,833,234  
    172,000     Jingrui Holdings Ltd     45,957  
    36,000     JNBY Design Ltd     40,704  
    2,700     JOYY Inc ADR (a)     240,489  
    149,500     Kingboard Holdings Ltd     571,197  
    810,500     Kingboard Laminates Holdings Ltd     1,307,558  
    386,250     KWG Living Group Holdings Ltd *     298,992  
    1,196,500     KWG Property Holding Ltd     1,636,907  
    2,342,900     Legend Holdings Corp – Class H     3,190,108  
    1,348,000     Livzon Pharmaceutical Group Inc – Class H     5,310,382  
    1,184,000     Logan Group Co Ltd     1,982,090  
    1,062,000     Longfor Group Holdings Ltd     6,939,986  
    10,134,000     Lonking Holdings Ltd     2,926,160  
    109,800     Lufax Holding Ltd * (a)     1,808,406  
    2,785,000     Metallurgical Corp of China Ltd – Class H     506,419  
    153,000     Momo Inc Sponsored ADR (a)     2,200,140  
    
Shares
    Description   Value ($)  
          China — continued  
    340,900     NetEase Inc ADR (a) (b)     30,807,133  
    1,705,000     Nexteer Automotive Group Ltd     1,807,299  
    5,278,000     Nine Dragons Paper Holdings Ltd     6,934,936  
    2,047,000     PAX Global Technology Ltd     1,272,038  
    23,587,000     PICC Property & Casualty Co Ltd – Class H     19,461,849  
    597,000     Poly Property Group Co Ltd     184,874  
    13,673,000     Postal Savings Bank of China Co Ltd – Class H     7,728,466  
    2,748,000     Powerlong Real Estate Holdings Ltd     1,983,675  
    354,000     Road King Infrastructure Ltd     474,964  
    380,000     Seazen Group Ltd *     336,301  
    1,288,000     Shanghai Electric Group Co Ltd – Class H *     370,561  
    238,000     Shanghai Industrial Holdings Ltd     353,728  
    1,108,000     Shanghai Jin Jiang Capital Co Ltd – Class H     181,172  
    6,296,900     Shanghai Pharmaceuticals Holding Co Ltd – Class H     10,648,153  
    582,000     Shenzhen Expressway Co Ltd – Class H     580,419  
    571,228     Shenzhen Investment Ltd     209,074  
    7,533,076     Shimao Group Holdings Ltd     28,077,110  
    1,585,000     Sino-Ocean Land Holdings Ltd     333,316  
    596,000     Sinopec Engineering Group Co Ltd – Class H     263,742  
    12,828,000     Sinopec Shanghai Petrochemical Co Ltd – Class H     2,842,335  
    5,248,400     Sinopharm Group Co Ltd – Class H     12,991,104  
    2,035,000     Sinotruk Hong Kong Ltd     5,071,062  
    2,694,000     Skyworth Group Ltd *     735,308  
    1,258,000     SOHO China Ltd *     391,144  
    3,519,000     TCL Electronics Holdings Ltd *     2,770,803  
    328,500     Tencent Holdings Ltd     23,946,888  
    40,300     Tencent Holdings Ltd ADR     2,941,900  
    994,500     Texhong Textile Group Ltd     918,131  
    588,000     Tianjin Development Holdings Ltd     113,669  
    914,000     Tianjin Port Development Holdings Ltd     70,620  
    6,256,000     Tianneng Power International Ltd     13,125,695  
    462,500     Vipshop Holdings Ltd ADR *     11,812,250  
    5,666,000     Weichai Power Co Ltd – Class H     11,571,566  
    4,186,968     Weifu High-Technology Group Co Ltd – Class A     16,487,565  
    10,398,000     West China Cement Ltd     1,620,583  
    65,800     Wuhu Sanqi Interactive Entertainment Network Technology Group Co Ltd – Class A     261,437  
    702,600     Xiaomi Corp – Class B *     2,398,770  
    498,500     XTEP International Holdings Ltd     212,075  
    5,420,000     Yuzhou Group Holdings Co Ltd     2,154,186  
    1,811,500     Zhongsheng Group Holdings Ltd     13,620,137  
    613,900     Zhuzhou Kibing Group Co Ltd – Class A     1,085,245  
    326,200     Zoomlion Heavy Industry Science and Technology Co Ltd – Class H     340,550  
     

 

 

 
    Total China     794,424,821  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Cyprus — 0.0%  
    73,892     QIWI Plc Sponsored ADR     1,075,867  
     

 

 

 
          Czech Republic — 0.0%      
    223,295     Moneta Money Bank AS *     663,393  
     

 

 

 
          Denmark — 0.2%      
    244,691     Danske Bank A/S *     4,028,325  
    81,771     Demant A/S *     3,084,739  
    19,286     Matas A/S *     248,954  
    38,813     Pandora A/S     3,891,571  
    44,396     Scandinavian Tobacco Group A/S     683,175  
     

 

 

 
    Total Denmark     11,936,764  
     

 

 

 
          Egypt — 0.0%  
    23,151     Commercial International Bank Egypt SAE     92,241  
     

 

 

 
          Finland — 0.2%  
    18,077     Kesko Oyj – B Shares     473,251  
    114,981     Neste Oyj     7,683,061  
    553,800     Nokia Oyj *     2,208,556  
    5,821     Sanoma Oyj     84,273  
    22,187     Tokmanni Group Corp     403,502  
    20,743     UPM-Kymmene Oyj     680,625  
    9,515     Uponor Oyj     193,455  
     

 

 

 
    Total Finland     11,726,723  
     

 

 

 
          France — 1.4%  
    5,078     Akka Technologies * (a)     152,678  
    35,197     ALD SA     450,362  
    83,547     APERAM SA (a)     3,175,441  
    17,798     Arkema SA     2,072,697  
    2,294     Assystem SA     68,226  
    39,608     Atos SE *     3,615,447  
    2,133     Axway Software SA *     59,527  
    89,621     BNP Paribas SA *     4,561,815  
    1,836     Boiron SA     83,777  
    909     Caisse Regionale de Credit Agricole Mutuel Nord de France *     23,056  
    190     Capgemini SE     26,434  
    1,786     Christian Dior SE     910,704  
    9,849     Cie de Saint-Gobain *     466,565  
    23,831     Credit Agricole SA *     274,944  
    94,715     Derichebourg SA     371,343  
    8,477     Eiffage SA *     828,775  
    148     Euronext NV     15,754  
    18,662     Fnac Darty SA *     997,763  
    11,188     Gaztransport Et Technigaz SA     1,105,772  
    857     Groupe Crit *     61,980  
    989     HEXAOM *     41,163  
    47,287     IPSOS     1,510,757  
    7,231     Kaufman & Broad SA     307,615  
    
Shares
    Description   Value ($)  
          France — continued  
    7,357     Kering SA     5,311,537  
    13,035     L’Oreal SA     4,798,133  
    10,309     LVMH Moet Hennessy Louis Vuitton SE     5,921,445  
    1,885     Mersen SA *     54,929  
    62,001     Metropole Television SA *     972,118  
    1,778     Nexans SA *     112,012  
    443,303     Peugeot SA * (a)     10,400,467  
    93,213     Publicis Groupe SA     4,200,378  
    54,948     Quadient SA     982,260  
    15     Renault SA * (d)     598  
    118,991     Renault SA * (d)     4,724,160  
    2,190     Rothschild & Co *     68,350  
    53,716     Safran SA *     7,830,397  
    57,762     Sanofi     5,822,340  
    1,100     SEB SA     194,856  
    755     Societe BIC SA     44,689  
    151,794     Societe Generale SA *     3,009,734  
    585     Sopra Steria Group *     88,696  
    7,600     STMicroelectronics NV – NY Shares     301,340  
    1,769     Synergie SA *     59,929  
    2,003     TOTAL SE (d)     85,590  
    1,211     TOTAL SE (d)     51,401  
    21,803     Unibail-Rodamco-Westfield (REIT) (a)     1,534,143  
    84,732     Valeo SA     3,268,945  
    8,295     Vicat SA     337,822  
    1,584     Vilmorin & Cie SA     94,189  
     

 

 

 
    Total France     81,453,053  
     

 

 

 
          Germany — 1.1%  
    2,480     Allianz SE (Registered)     581,275  
    2,359     Amadeus Fire AG *     334,214  
    283,296     Aroundtown SA *     1,960,708  
    30,008     Aurubis AG     2,280,658  
    74,264     Bayer AG (Registered)     4,278,626  
    19,405     Bayerische Motoren Werke AG     1,683,761  
    2,200     Bechtle AG     480,268  
    17,067     Borussia Dortmund GmbH & Co KGaA *     115,646  
    17,176     Brenntag AG     1,315,309  
    152,975     CECONOMY AG *     753,611  
    933     Cewe Stiftung & Co KGaA     100,949  
    40,854     CropEnergies AG     676,373  
    83,610     Daimler AG (Registered)     5,597,799  
    304,552     Deutsche Lufthansa AG (Registered) * (a)     3,511,150  
    362,716     Deutsche Pfandbriefbank AG *     3,613,014  
    56,960     Deutz AG *     326,505  
    199,824     Dialog Semiconductor Plc *     10,664,114  
    4,603     Draegerwerk AG & Co KGaA     332,734  
    16,805     DWS Group GmbH & Co KGaA     654,441  
    5,884     Eckert & Ziegler Strahlen- und Medizintechnik AG     302,659  
    14,055     Fresenius SE & Co KGaA     628,387  
    1,775     Gesco AG     31,472  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Germany — continued  
    1,061     Grammer AG *     22,352  
    14,470     Hamburger Hafen und Logistik AG     315,739  
    106,700     HeidelbergCement AG     7,548,557  
    10,611     Henkel AG & Co KGaA     1,023,778  
    10,989     Hornbach Baumarkt AG     504,240  
    16,058     Hornbach Holding AG & Co KGaA     1,709,597  
    2,774     KWS Saat SE & Co KGaA *     210,263  
    12,143     Merck KGaA     1,938,996  
    1,852     OHB SE *     90,577  
    18,385     Siemens AG (Registered)     2,453,931  
    80,993     Software AG     3,478,020  
    43,724     Takkt AG *     562,777  
    10,122     Talanx AG *     370,937  
    44,963     VERBIO Vereinigte BioEnergie AG     1,395,347  
    10,978     Volkswagen AG     2,029,177  
    7,291     Wuestenrot & Wuerttembergische AG     149,143  
     

 

 

 
    Total Germany     64,027,104  
     

 

 

 
          Greece — 0.0%  
    40,910     JUMBO SA     725,426  
    34,357     Motor Oil Hellas Corinth Refineries SA     438,925  
     

 

 

 
    Total Greece     1,164,351  
     

 

 

 
          Hong Kong — 0.7%  
    339,500     BOC Hong Kong Holdings Ltd     1,104,857  
    279,800     Budweiser Brewing Co APAC Ltd     960,554  
    488,000     Chow Sang Sang Holdings International Ltd     590,944  
    215,600     Chow Tai Fook Jewellery Group Ltd     281,440  
    2,818,000     CITIC Telecom International Holdings Ltd     937,385  
    18,000     CK Asset Holdings Ltd     98,359  
    571,000     CK Hutchison Holdings Ltd     4,141,817  
    1,400,000     CSI Properties Ltd     39,314  
    413,200     Dah Sing Banking Group Ltd     442,976  
    393,600     Dah Sing Financial Holdings Ltd     1,158,110  
    6,792,000     First Pacific Co Ltd     2,073,532  
    1,610,000     Giordano International Ltd     243,479  
    430,000     HKT Trust & HKT Ltd – Class SS     562,014  
    529,900     Hongkong Land Holdings Ltd     2,151,100  
    1,040,213     I-CABLE Communications Ltd *     8,693  
    926,000     Johnson Electric Holdings Ltd     2,181,487  
    443,000     K Wah International Holdings Ltd     220,365  
    99,500     Kerry Logistics Network Ltd     218,108  
    1,010,000     Kerry Properties Ltd     2,587,644  
    258,800     Man Wah Holdings Ltd     474,577  
    1,494,000     Pacific Textiles Holdings Ltd     1,029,442  
    5,624,000     PCCW Ltd     3,412,939  
    201,000     Regal Real Estate Investment Trust     33,429  
    1,772,000     Shun Tak Holdings Ltd     559,069  
    350,000     Singamas Container Holdings Ltd     21,626  
    
Shares
    Description   Value ($)  
          Hong Kong — continued  
    139,500     SmarTone Telecommunications Holdings Ltd     77,024  
    522,000     Sun Hung Kai & Co Ltd     233,511  
    11,500     Sun Hung Kai Properties Ltd     152,863  
    66,000     Swire Pacific Ltd – Class A     378,193  
    40,000     TAI Cheung Holdings Ltd     24,309  
    614,000     VSTECS Holdings Ltd     516,147  
    553,700     VTech Holdings Ltd     4,265,172  
    7,703,000     WH Group Ltd     6,275,416  
    222,000     Wharf Holdings Ltd (The)     549,163  
    146,000     Xinyi Glass Holdings Ltd     327,433  
    1,085,000     Yue Yuen Industrial Holdings Ltd     2,227,268  
     

 

 

 
    Total Hong Kong     40,559,759  
     

 

 

 
          Hungary — 0.1%  
    409,121     Magyar Telekom Telecommunications Plc     528,134  
    143,077     Richter Gedeon Nyrt     3,390,660  
     

 

 

 
    Total Hungary     3,918,794  
     

 

 

 
          India — 2.1%  
    11,303     Alkem Laboratories Ltd     431,171  
    104,228     Asian Paints Ltd     3,080,748  
    173,004     Aurobindo Pharma Ltd     2,009,811  
    130,090     Bajaj Auto Ltd     5,552,296  
    332,913     Balrampur Chini Mills Ltd     734,860  
    5,039     Bosch Ltd     864,693  
    493,293     Cadila Healthcare Ltd     2,974,724  
    109,549     Dr Reddy’s Laboratories Ltd     7,114,808  
    153,600     Dr Reddy’s Laboratories Ltd ADR     10,074,624  
    762,659     Firstsource Solutions Ltd     808,370  
    192,124     Gujarat Narmada Valley Fertilizers & Chemicals Ltd     540,936  
    2,204,825     HCL Technologies Ltd     24,368,924  
    91,213     HDFC Bank Ltd *     1,758,119  
    2     Hero MotoCorp Ltd     83  
    129,606     Hindalco Industries Ltd     390,237  
    66,902     Hindustan Petroleum Corp Ltd     188,038  
    108,665     Hindustan Unilever Ltd     3,126,913  
    102,379     Housing Development Finance Corp Ltd     3,080,280  
    542,577     ICICI Bank Ltd *     3,465,570  
    1,200,578     Indiabulls Housing Finance Ltd     2,994,462  
    797,676     Indian Oil Corp Ltd     902,264  
    188,800     Infosys Ltd Sponsored ADR (a)     2,873,536  
    155,879     Kotak Mahindra Bank Ltd *     3,945,892  
    199,406     LIC Housing Finance Ltd     884,799  
    40,408     Mphasis Ltd     719,110  
    16     Muthoot Finance Ltd     247  
    56,133     Narayana Hrudayalaya Ltd     286,387  
    255,738     NTPC Ltd     320,136  
    3,768,673     Oil & Natural Gas Corp Ltd     3,947,830  
    4,935,078     Power Finance Corp Ltd     7,155,909  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          India — continued  
    809,264     PTC India Ltd     595,263  
    55,410     Rajesh Exports Ltd *     336,464  
    7,830,974     REC Ltd     12,507,913  
    120,182     Sonata Software Ltd     552,948  
    76,805     Tata Consultancy Services Ltd     2,758,122  
    63,055     Tata Motors Ltd *     149,978  
    126,805     Titan Co Ltd     2,266,880  
    623,604     Wipro Ltd     2,950,441  
     

 

 

 
    Total India     116,713,786  
     

 

 

 
          Indonesia — 0.6%  
    1,353,800     Astra International Tbk PT     506,896  
    898,500     Bank BTPN Syariah Tbk PT     262,913  
    3,768,600     Bank Central Asia Tbk PT     8,277,141  
    6,518,200     Bank Mandiri Persero Tbk PT     2,923,549  
    6,358,400     Bank Negara Indonesia Persero Tbk PT     2,696,371  
    871,200     Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT     81,703  
    6,794,200     Bank Pembangunan Daerah Jawa Timur Tbk PT     305,602  
    31,402,300     Bank Rakyat Indonesia Persero Tbk PT     9,082,348  
    6,481,600     Bank Tabungan Negara Persero Tbk PT     755,620  
    6,690,000     Bukit Asam Tbk PT     1,117,358  
    2,540,600     Gajah Tunggal Tbk PT *     92,565  
    6,822,500     Hanjaya Mandala Sampoerna Tbk PT     736,849  
    579,700     Indah Kiat Pulp & Paper Corp Tbk PT     355,924  
    2,330,400     Indo Tambangraya Megah Tbk PT     2,161,985  
    2,014,100     Matahari Department Store Tbk PT *     180,325  
    6,026,000     Pakuwon Jati Tbk PT *     213,559  
    56,399,000     Panin Financial Tbk PT *     893,705  
    15,651,700     Ramayana Lestari Sentosa Tbk PT     808,495  
    496,100     Unilever Indonesia Tbk PT     271,223  
    211,600     United Tractors Tbk PT     344,542  
    2,264,800     XL Axiata Tbk PT     386,556  
     

 

 

 
    Total Indonesia     32,455,229  
     

 

 

 
          Ireland — 0.3%  
    111,432     AIB Group Plc *     200,123  
    440,553     Bank of Ireland Group Plc *     1,380,298  
    4,381     CRH Plc *     172,319  
    52,100     CRH Plc Sponsored ADR     2,044,925  
    1,956     Flutter Entertainment Plc *     356,376  
    28,431     Glanbia Plc     349,655  
    636,023     Hibernia REIT Plc     868,466  
    377,562     Irish Residential Properties REIT Plc (a)     628,519  
    7,556     Kingspan Group Plc *     659,228  
    131,178     Origin Enterprises Plc     560,741  
    83,277     Permanent TSB Group Holdings Plc *     62,005  
    343,345     Ryanair Holdings Plc *     6,257,327  
    10,215     Smurfit Kappa Group Plc (d)     428,522  
    106,416     Smurfit Kappa Group Plc (d)     4,527,581  
    
Shares
    Description   Value ($)  
          Ireland — continued  
    71,613     Total Produce Plc *     120,773  
     

 

 

 
    Total Ireland     18,616,858  
     

 

 

 
          Israel — 0.1%  
    58,412     Isracard Ltd     190,443  
    836,336     Oil Refineries Ltd *     181,078  
    376,100     Teva Pharmaceutical Industries Ltd Sponsored ADR * (a)     3,576,711  
     

 

 

 
    Total Israel     3,948,232  
     

 

 

 
          Italy — 0.9%  
    167,430     A2A SPA     256,151  
    1,295     ACEA SPA     27,452  
    417,563     Anima Holding SPA     1,838,849  
    72,048     Arnoldo Mondadori Editore SPA *     128,393  
    68,263     Banca Popolare di Sondrio SCPA *     184,588  
    17,925     Biesse SPA *     361,102  
    223,690     Buzzi Unicem SPA     5,473,809  
    39,390     Cementir Holding NV     324,189  
    143,233     CNH Industrial NV *     1,560,494  
    60,403     Credito Emiliano SPA *     336,067  
    8,160     De’ Longhi SPA *     284,884  
    80,777     Enav SPA     355,590  
    1,002,854     Enel SPA     10,061,455  
    207,085     EXOR NV     14,485,473  
    792,183     Hera SPA     2,887,711  
    100,916     IMMSI SPA *     52,078  
    387,571     Intesa Sanpaolo SPA *     897,795  
    27,785     La Doria SPA     423,521  
    296,902     Leonardo SPA (a)     2,155,274  
    39,568     Piaggio & C SPA     125,424  
    1,351     Prima Industrie SPA * (a)     22,556  
    1,433     Recordati Industria Chimica e Farmaceutica SPA     76,645  
    1,858     Sabaf SPA     29,181  
    451,734     Saras SPA * (a)     292,420  
    3,768     Sesa SPA *     378,470  
    36,755     Societa Cattolica di Assicurazioni SC * (a)     219,937  
    5,608,746     Telecom Italia SPA     2,643,282  
    7,993,418     Telecom Italia SPA-RSP     4,088,540  
    245,613     Unipol Gruppo SPA *     1,184,562  
     

 

 

 
    Total Italy     51,155,892  
     

 

 

 
          Japan — 8.9%  
    34,300     ADEKA Corp     542,369  
    371,700     Aeon Mall Co Ltd     5,940,522  
    15,500     Aichi Corp     137,531  
    11,000     Aida Engineering Ltd     92,768  
    9,000     Altech Corp     179,658  
    717,000     Amada Co Ltd     6,872,875  
    93,500     Amano Corp     2,192,998  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Japan — continued  
    29,500     AOKI Holdings Inc     115,392  
    10,500     Arata Corp     498,278  
    52,900     Arcland Sakamoto Co Ltd     905,739  
    164,500     Arcs Co Ltd     3,435,459  
    586,800     Asahi Kasei Corp (b)     5,364,779  
    477,900     Asics Corp (a)     8,588,952  
    575,800     Astellas Pharma Inc     8,201,426  
    9,100     Bando Chemical Industries Ltd     50,010  
    10,000     BeNEXT Group Inc (a)     108,799  
    243,000     Brother Industries Ltd     4,641,575  
    23,300     Bunka Shutter Co Ltd     203,038  
    4,800     Central Glass Co Ltd     101,857  
    27,300     Central Japan Railway Co     3,469,582  
    4,000     Chiyoda Integre Co Ltd     58,257  
    403,100     Chugoku Marine Paints Ltd     3,831,612  
    3,000     Cleanup Corp     13,245  
    9,600     CONEXIO Corp     113,103  
    9,200     Credit Saison Co Ltd     105,175  
    13,700     Dai Nippon Toryo Co Ltd     121,156  
    4,000     Dai-Dan Co Ltd     106,277  
    113,400     Daihen Corp     4,911,817  
    4,800     Daiichi Jitsugyo Co Ltd     185,108  
    4,700     Dainichiseika Color & Chemicals Manufacturing Co Ltd     107,377  
    8,500     Daishi Hokuetsu Financial Group Inc     191,540  
    2,800     Daito Pharmaceutical Co Ltd     96,923  
    48,700     Daiwa House Industry Co Ltd     1,488,270  
    13,300     Daiwa Industries Ltd     130,420  
    135,800     Daiwabo Holdings Co Ltd     8,475,475  
    234,200     Denka Co Ltd     7,226,149  
    100,400     Doshisha Co Ltd     1,927,208  
    1,900     DTS Corp     39,952  
    177,200     Ebara Corp     5,651,513  
    105,400     Electric Power Development Co Ltd     1,414,636  
    10,300     FJ Next Co Ltd     96,730  
    159,100     Fuji Corp     3,843,978  
    34,200     Fuji Electric Co Ltd     1,210,922  
    4,300     Fuji Pharma Co Ltd     51,402  
    14,200     Fujimi Inc     494,521  
    4,700     Fujimori Kogyo Co Ltd     212,214  
    14,800     Fujitec Co Ltd     301,137  
    5,800     Fujitsu General Ltd     175,471  
    50,300     Fujitsu Ltd     6,958,407  
    6,800     Furuno Electric Co Ltd     77,173  
    7,800     Furyu Corp     87,901  
    7,400     G-7 Holdings Inc     172,113  
    34,400     Geo Holdings Corp     418,354  
    16,000     Glory Ltd     320,847  
    75,500     GungHo Online Entertainment Inc (a)     1,914,541  
    62,900     Gunze Ltd     2,161,537  
    38,600     Gurunavi Inc     191,097  
    9,100     Hakuto Co Ltd     91,887  
    
Shares
    Description   Value ($)  
          Japan — continued  
    4,900     Hanwa Co Ltd     116,810  
    709,194     Haseko Corp     7,664,510  
    938,200     Hazama Ando Corp     6,163,001  
    5,900     Heiwado Co Ltd     119,751  
    34,100     Hisamitsu Pharmaceutical Co Inc     2,001,086  
    269,300     Hitachi Ltd     10,220,944  
    2,900     Hochiki Corp     34,484  
    122,000     Hogy Medical Co Ltd     3,687,990  
    202,800     Honda Motor Co Ltd     5,642,285  
    135,600     Horiba Ltd     7,254,448  
    1,900     Hosokawa Micron Corp     114,972  
    19,400     Inaba Denki Sangyo Co Ltd     444,028  
    253,400     Inabata & Co Ltd     3,336,147  
    6,700     Information Services International-Dentsu Ltd     446,031  
    684,900     Inpex Corp     3,793,569  
    329,600     ITOCHU Corp     8,697,898  
    32,300     Itochu Enex Co Ltd     309,985  
    5,900     Itochu Techno-Solutions Corp     208,041  
    1,600     Itochu-Shokuhin Co Ltd     86,204  
    29,400     Itoki Corp     95,115  
    4,200     Jaccs Co Ltd     72,951  
    144,000     JAFCO Group Co Ltd     6,162,243  
    68,800     Japan Post Insurance Co Ltd     1,144,602  
    22,100     Japan Tobacco Inc (a)     447,352  
    5,600     Jeol Ltd     218,745  
    490,100     JVCKenwood Corp     661,407  
    737,700     K’s Holdings Corp     8,957,860  
    282,500     Kadokawa Corp     8,943,115  
    14,300     Kajima Corp     187,608  
    5,700     Kaken Pharmaceutical Co Ltd     208,265  
    13,800     Kamei Corp     154,860  
    132,000     Kanamoto Co Ltd     2,744,007  
    408,200     Kanematsu Corp     4,700,597  
    4,300     Kanematsu Electronics Ltd     166,485  
    20,100     Kasai Kogyo Co Ltd     66,904  
    4,400     Kato Sangyo Co Ltd     145,684  
    548,200     KDDI Corp (b)     15,599,779  
    13,700     Keiyo Bank Ltd (The)     59,819  
    1,055,300     Kenedix Inc (a)     7,598,837  
    170,600     Kinden Corp     2,725,059  
    11,300     Kissei Pharmaceutical Co Ltd     225,826  
    19,400     Kitz Corp     104,238  
    2,900     Kiyo Bank Ltd (The)     43,911  
    18,400     Kohnan Shoji Co Ltd     568,752  
    38,800     Komeri Co Ltd     1,054,803  
    488,731     Konica Minolta Inc     1,560,885  
    266,200     Konoike Transport Co Ltd     2,634,891  
    1,700     Krosaki Harima Corp     58,366  
    4,800     Kumagai Gumi Co Ltd     108,535  
    8,900     Kureha Corp     449,763  
    13,600     Kyosan Electric Manufacturing Co Ltd     54,916  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Japan — continued  
    270,600     Kyowa Exeo Corp     6,949,725  
    60,500     Kyudenko Corp     1,726,497  
    244,100     Macromill Inc     1,520,196  
    176,200     Mandom Corp     2,760,083  
    155,300     Maruichi Steel Tube Ltd     3,264,842  
    5,400     Maruzen Showa Unyu Co Ltd     172,950  
    36,500     Marvelous Inc     317,186  
    5,000     Matsuda Sangyo Co Ltd     82,231  
    344,700     Maxell Holdings Ltd *     3,961,114  
    48,500     MCJ Co Ltd     446,824  
    54,700     Mebuki Financial Group Inc     112,026  
    45,100     Meidensha Corp     781,506  
    20,600     METAWATER Co Ltd     466,618  
    222,500     Mitsubishi Chemical Holdings Corp     1,224,940  
    151,000     Mitsubishi Gas Chemical Co Inc     3,196,064  
    5,100     Mitsubishi Research Institute Inc     202,895  
    2,341,800     Mitsubishi UFJ Financial Group Inc     9,993,196  
    11,100     Mitsuboshi Belting Ltd     173,072  
    18,500     Mitsui Chemicals Inc     517,196  
    12,600     Mitsui Sugar Co Ltd     215,328  
    75,400     Mixi Inc     2,060,320  
    15,300     Mizuho Financial Group Inc     193,844  
    10,700     Mizuno Corp     184,934  
    3,000     Mochida Pharmaceutical Co Ltd     115,391  
    17,400     Modec Inc (a)     291,480  
    238,700     MS&AD Insurance Group Holdings Inc     6,944,098  
    26,900     MTI Ltd     216,925  
    18,100     NEC Corp (b)     975,173  
    38,400     NEC Networks & System Integration Corp     678,140  
    197,000     NH Foods Ltd     8,389,913  
    12,400     Nichias Corp     288,337  
    16,400     Nichiha Corp     511,353  
    126,200     Nikkon Holdings Co Ltd     2,448,960  
    48,600     Nippo Corp     1,266,784  
    5,300     Nippon Flour Mills Co Ltd     82,506  
    11,300     Nippon Kayaku Co Ltd     98,664  
    57,680     Nippon Light Metal Holdings Co Ltd     984,918  
    14,000     Nippon Soda Co Ltd     366,829  
    557,900     Nippon Telegraph & Telephone Corp     13,194,479  
    9,800     Nishimatsu Construction Co Ltd     182,055  
    3,700     Nishio Rent All Co Ltd     71,903  
    7,100     Nisshin Oillio Group Ltd (The)     198,093  
    3,800     Nissin Corp     44,220  
    55,100     Nissin Electric Co Ltd     615,201  
    1,400     Nitori Holdings Co Ltd     297,663  
    20,600     Nojima Corp     537,607  
    86,600     Nomura Real Estate Holdings Inc     1,861,402  
    7,300     NS Solutions Corp     215,662  
    230,200     NTT DOCOMO Inc (a)     8,561,428  
    7,500     Obara Group Inc (a)     242,931  
    943,200     Obayashi Corp     8,302,207  
    
Shares
    Description   Value ($)  
          Japan — continued  
    15,100     Okamura Corp     134,914  
    1,500     Okinawa Cellular Telephone Co     62,343  
    11,300     Organo Corp     640,272  
    894,700     ORIX Corp (b)     13,242,785  
    9,800     Osaka Soda Co Ltd     229,342  
    7,700     Osaki Electric Co Ltd     40,613  
    1,000     Otsuka Corp     48,493  
    297,500     Pacific Industrial Co Ltd     3,044,730  
    333,600     Penta-Ocean Construction Co Ltd     2,475,749  
    9,100     Prima Meat Packers Ltd     252,394  
    8,000     Proto Corp     80,471  
    217,100     Raiznext Corp     2,312,526  
    46,400     Resona Holdings Inc     161,733  
    8,700     Rinnai Corp     1,015,048  
    37,000     Rohm Co Ltd     3,076,620  
    5,700     Ryoden Corp     82,357  
    7,100     Sakata INX Corp     78,545  
    63,500     San-A Co Ltd     2,455,674  
    23,400     San-Ai Oil Co Ltd     258,503  
    23,000     San-In Godo Bank Ltd (The)     119,710  
    35,200     Sanki Engineering Co Ltd     386,901  
    19,000     Sanwa Holdings Corp     230,789  
    9,600     Sanyo Chemical Industries Ltd     411,951  
    79,000     Secom Co Ltd     7,883,615  
    10,500     Seikitokyu Kogyo Co Ltd     81,141  
    86,100     Sekisui Chemical Co Ltd     1,484,216  
    193,700     Sekisui House Ltd     3,473,262  
    7,500     Sekisui Jushi Corp     157,751  
    879,000     Shimizu Corp     6,647,618  
    6,900     Shin-Etsu Polymer Co Ltd     61,853  
    3,800     Shindengen Electric Manufacturing Co Ltd     84,910  
    7,100     Shinnihon Corp     57,646  
    16,900     Shizuoka Gas Co Ltd     160,226  
    2,000     Sinanen Holdings Co Ltd     56,686  
    16,100     Sinko Industries Ltd     264,059  
    18,900     Sintokogio Ltd     128,752  
    942,600     SKY Perfect JSAT Holdings Inc     4,264,536  
    478,000     Sojitz Corp     1,043,949  
    961,100     Sumitomo Chemical Co Ltd     3,395,444  
    425,100     Sumitomo Dainippon Pharma Co Ltd     5,360,797  
    443,900     Sumitomo Forestry Co Ltd     8,037,644  
    13,300     Sumitomo Mitsui Financial Group Inc     382,409  
    3,400     Sumitomo Seika Chemicals Co Ltd     134,896  
    14,700     Suzuki Motor Corp     788,333  
    174,700     T Hasegawa Co Ltd     3,358,154  
    210,500     Tachi-S Co Ltd     2,261,557  
    68,800     Taisei Corp     2,420,373  
    293,600     Takara Holdings Inc     3,359,499  
    75,800     Takara Leben Co Ltd     213,824  
    32,900     Takasago Thermal Engineering Co Ltd     451,696  
    36,300     Takeuchi Manufacturing Co Ltd     851,639  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Japan — continued  
    199,600     Takuma Co Ltd     3,418,226  
    20,700     Tamron Co Ltd     315,864  
    10,900     Tanseisha Co Ltd     79,043  
    204,600     Teijin Ltd     3,488,870  
    119,700     TIS Inc     2,377,183  
    249,100     Toho Holdings Co Ltd     4,542,971  
    2,500     Token Corp     193,471  
    1,352,200     Tokyo Electric Power Co Holdings Inc *     3,519,475  
    179,600     Tokyo Seimitsu Co Ltd     7,899,141  
    94,800     Tokyu Construction Co Ltd     424,910  
    9,800     Toli Corp     23,957  
    44,200     Toppan Forms Co Ltd     420,843  
    673,800     Toppan Printing Co Ltd (b)     9,173,402  
    2,300     Torii Pharmaceutical Co Ltd     69,580  
    314,400     Tosei Corp (a)     3,485,991  
    3,300     Toshiba TEC Corp     118,519  
    468,300     Tosoh Corp     7,334,281  
    5,300     Towa Pharmaceutical Co Ltd     96,601  
    93,000     Toyo Construction Co Ltd     354,010  
    2,500     Toyo Ink SC Holdings Co Ltd (a)     46,750  
    67,700     Toyo Suisan Kaisha Ltd     3,329,885  
    136,800     Toyota Industries Corp (b)     9,858,501  
    27,300     TS Tech Co Ltd     798,506  
    100,900     Tsumura & Co     2,936,086  
    10,600     Unipres Corp     90,665  
    22,700     Ushio Inc     284,760  
    8,000     Vital KSK Holdings Inc     65,956  
    8,900     Wacoal Holdings Corp     170,176  
    9,100     Warabeya Nichiyo Holdings Co Ltd     121,301  
    33,000     YAMABIKO Corp     446,154  
    64,500     Yamaguchi Financial Group Inc     399,994  
    23,300     Yamazen Corp     221,531  
    38,300     Yellow Hat Ltd     589,690  
    468,400     Yokogawa Electric Corp     8,252,523  
    5,500     Yondoshi Holdings Inc     98,086  
    7,200     Yuasa Trading Co Ltd     225,602  
    159,900     Zenkoku Hosho Co Ltd     7,296,884  
     

 

 

 
    Total Japan     503,673,661  
     

 

 

 
          Kuwait — 0.2%  
    19,127     Agility Public Warehousing Co KSC     40,201  
    72,399     Burgan Bank SAK     46,671  
    87,243     Gulf Bank KSCP     59,924  
    34,795     Gulf Cable & Electrical Industries Co KSCP     81,765  
    31,884     Humansoft Holding Co KSC *     354,867  
    2,163,736     Kuwait Finance House KSCP     4,825,871  
    340,709     Kuwait Projects Co Holding KSCP     165,529  
    166,320     Mobile Telecommunications Co KSC     316,347  
    974,907     National Bank of Kuwait SAKP     2,684,815  
    34,283     Qurain Petrochemical Industries Co     35,246  
     

 

 

 
    Total Kuwait     8,611,236  
     

 

 

 
    
Shares
    Description   Value ($)  
          Malaysia — 0.1%  
    22,700     Carlsberg Brewery Malaysia Berhad     107,204  
    2,706,400     DRB-Hicom Berhad     1,320,991  
    143,900     Hartalega Holdings Berhad     508,048  
    303,000     Kossan Rubber Industries     466,070  
    233,200     Pharmaniaga Berhad     314,732  
    309,300     Ta Ann Holdings Berhad     234,230  
    757,100     Top Glove Corp Berhad     1,324,160  
    258,300     Westports Holdings Berhad     272,474  
    789,100     YTL Corp Berhad *     124,931  
     

 

 

 
    Total Malaysia     4,672,840  
     

 

 

 
          Mexico — 1.2%  
    2,238,600     America Movil SAB de CV – Series L     1,671,453  
    216,500     Arca Continental SAB de CV     1,063,633  
    438,200     Banco del Bajio SA *     546,388  
    1,238,200     Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santander Mexico     1,287,810  
    283,200     Cemex SAB de CV Sponsored ADR     1,302,720  
    80,400     Concentradora Fibra Danhos SA de CV (REIT)     95,357  
    777,700     Credito Real SAB de CV SOFOM ER *     439,447  
    198,700     El Puerto de Liverpool SAB de CV – Class C1 *     661,080  
    1,976,400     Fibra Uno Administracion SA de CV (REIT)     1,972,464  
    689,600     Fomento Economico Mexicano SAB de CV     4,981,710  
    498,700     Gentera SAB de CV *     214,678  
    304,100     Grupo Aeroportuario del Centro Norte SAB de CV *     1,768,754  
    3,100     Grupo Aeroportuario del Centro Norte SAB de CV ADR *     144,336  
    2,983,100     Grupo Financiero Banorte SAB de CV – Class O *     14,853,322  
    438,600     Grupo Financiero Inbursa SAB de CV – Class O *     427,527  
    222,213     Grupo Herdez SAB de CV     435,844  
    3,661,400     Grupo Mexico SAB de CV – Series B     13,315,664  
    47,300     Kimberly-Clark de Mexico SAB de CV – Class A     74,986  
    129,100     Qualitas Controladora SAB de CV     627,095  
    214,600     Regional SAB de CV *     915,091  
    310,869     Unifin Financiera SAB de CV SOFOM ENR *     385,774  
    8,652,500     Wal-Mart de Mexico SAB de CV     22,776,215  
     

 

 

 
    Total Mexico     69,961,348  
     

 

 

 
          Netherlands — 1.2%  
    188,913     ABN AMRO Bank NV CVA *     1,933,960  
    628,849     Aegon NV     2,326,297  
    101,800     AerCap Holdings NV * (a)     3,742,168  
    1,148     ASM International NV     202,406  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Netherlands — continued  
    237,051     ASR Nederland NV (b)     8,784,690  
    73,710     Evander Gold Mines Ltd (c)     879  
    4,163     Flow Traders     134,003  
    46,377     ForFarmers NV     297,454  
    20,612     Heineken Holding NV     1,899,037  
    717     Hunter Douglas NV *     46,427  
    494,672     ING Groep NV *     4,811,534  
    259,189     Koninklijke Ahold Delhaize NV     7,410,551  
    41,245     Koninklijke Vopak NV     2,162,756  
    111,502     NIBC Holding NV *     988,665  
    14,989     NN Group NV     605,779  
    133,134     PostNL NV *     453,411  
    167,436     Randstad NV *     10,355,639  
    280,758     Signify NV *     11,834,450  
    84,136     Wolters Kluwer NV     7,043,734  
     

 

 

 
    Total Netherlands     65,033,840  
     

 

 

 
          New Zealand — 0.1%  
    83,450     Air New Zealand Ltd * (a)     106,477  
    905,530     Meridian Energy Ltd     4,084,911  
     

 

 

 
    Total New Zealand     4,191,388  
     

 

 

 
          Norway — 0.4%  
    67,379     Austevoll Seafood ASA     612,713  
    27,001     Avance Gas Holding Ltd (a)     121,937  
    8,019     Borregaard ASA     117,948  
    461,545     BW LPG Ltd     2,947,404  
    132,713     DNB ASA *     2,392,979  
    495,668     Elkem ASA     1,593,694  
    15,810     Entra ASA (a)     315,085  
    167,113     Europris ASA     903,314  
    67,400     Gjensidige Forsikring ASA     1,467,553  
    211     Kongsberg Gruppen ASA     4,005  
    110,019     Norsk Hydro ASA     445,495  
    152,181     Norwegian Finans Holding ASA *     1,210,246  
    444,616     Orkla ASA     4,255,807  
    4,827     Salmar ASA * (a)     263,858  
    36,490     Sbanken ASA *     291,812  
    51,692     Selvaag Bolig ASA     301,364  
    63,395     SpareBank 1 Nord Norge     520,197  
    48,515     SpareBank 1 SMN     519,359  
    149,960     SpareBank 1 SR-Bank ASA *     1,495,773  
    37,813     Wallenius Wilhelmsen ASA *     90,356  
    82,923     Yara International ASA (a)     3,361,175  
     

 

 

 
    Total Norway     23,232,074  
     

 

 

 
          Pakistan — 0.1%  
    174,523     Engro Corp Ltd     333,384  
    2,006,673     Engro Fertilizers Ltd     762,649  
    499,103     Fauji Fertilizer Co Ltd     323,136  
    169,500     National Bank of Pakistan *     43,084  
    
Shares
    Description   Value ($)  
          Pakistan — continued  
    125,900     Nishat Mills Ltd     72,176  
    1,781,180     Oil & Gas Development Co Ltd     1,094,617  
    259,338     Pakistan Oilfields Ltd     639,478  
    1,082,377     Pakistan Petroleum Ltd     611,511  
    127,351     Pakistan State Oil Co Ltd *     158,999  
    355,000     Searle Co Ltd (The)     518,633  
    477,847     United Bank Ltd     361,507  
     

 

 

 
    Total Pakistan     4,919,174  
     

 

 

 
          Philippines — 0.1%  
    19,645     Globe Telecom Inc     795,011  
    227,640     Manila Electric Co     1,330,931  
    19,338,600     Megaworld Corp *     1,543,067  
    8,576,000     Metro Pacific Investments Corp     730,301  
    40,400     Metropolitan Bank & Trust Co     40,351  
    496,300     Robinsons Land Corp     172,134  
    82,010     Security Bank Corp     212,796  
    1,367,225     Semirara Mining & Power Corp     352,263  
     

 

 

 
    Total Philippines     5,176,854  
     

 

 

 
          Poland — 0.5%  
    60,074     Asseco Poland SA     1,062,038  
    17,459     Bank Polska Kasa Opieki SA *     264,261  
    33,987     Budimex SA     2,484,466  
    261,698     Cyfrowy Polsat SA     1,863,936  
    83,767     Grupa Lotos SA     773,752  
    13,010     KGHM Polska Miedz SA *     517,978  
    28,081     Lubelski Wegiel Bogdanka SA *     139,556  
    9,769     mBank SA *     394,050  
    345,482     Polski Koncern Naftowy ORLEN SA     5,101,986  
    1,187,126     Polskie Gornictwo Naftowe i Gazownictwo SA     1,515,515  
    1,688,268     Powszechny Zaklad Ubezpieczen SA *     11,325,294  
    6,660     Santander Bank Polska SA *     309,837  
     

 

 

 
    Total Poland     25,752,669  
     

 

 

 
          Portugal — 0.4%  
    251,608     Altri SGPS SA (a)     1,355,871  
    13,907,352     Banco Comercial Portugues SA – Class R * (a)     1,968,398  
    262,349     CTT-Correios de Portugal SA * (a)     763,346  
    41,741     EDP Renovaveis SA     884,692  
    1,137,001     EDP – Energias de Portugal SA     6,077,567  
    585,532     Galp Energia SGPS SA     6,282,039  
    127,972     Jeronimo Martins SGPS SA     2,192,739  
    277,317     Mota-Engil SGPS SA * (a)     482,386  
    400,162     Navigator Co SA (The) *     1,193,157  
    186,201     NOS SGPS SA     712,028  
    298,901     REN – Redes Energeticas Nacionais SGPS SA     819,674  
    26,453     Semapa-Sociedade de Investimento e Gestao     283,205  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Portugal — continued  
    1,206,437     Sonae SGPS SA     971,697  
     

 

 

 
    Total Portugal     23,986,799  
     

 

 

 
          Qatar — 0.1%  
    614,884     Doha Bank QPSC *     395,136  
    178,264     Masraf Al Rayan QSC     209,129  
    116,204     Ooredoo QPSC     215,543  
    107,783     Qatar Electricity & Water Co QSC     533,137  
    167,330     Qatar Insurance Co SAQ     116,468  
    12,249     Qatar Islamic Bank SAQ     55,962  
    1,270,052     Qatar National Bank QPSC     6,164,681  
    456,982     Qatar National Cement Co QSC     510,518  
     

 

 

 
    Total Qatar     8,200,574  
     

 

 

 
          Russia — 3.9%  
    11,068,410     Alrosa PJSC     12,765,271  
    1,093,600     Credit Bank of Moscow PJSC *     85,847  
    392,020     Detsky Mir PJSC     720,883  
    45,315     Etalon Group Plc GDR (Registered)     72,414  
    331,590,000     Federal Grid Co Unified Energy System PJSC     869,725  
    80,700     Gazprom Neft PJSC     333,736  
    1,449     Gazprom Neft PJSC Sponsored ADR     29,264  
    2,296,340     Gazprom PJSC     5,480,286  
    293,235     Globaltrans Investment Plc Sponsored GDR (Registered)     1,678,052  
    208,915,000     Inter RAO UES PJSC     14,030,231  
    42,811     LSR Group PJSC     509,615  
    224,290     LSR Group PJSC GDR (Registered)     526,916  
    239,146     LUKOIL PJSC     15,832,223  
    518,871     LUKOIL PJSC Sponsored ADR     33,402,401  
    173,600     M.Video PJSC     1,640,061  
    3,677,600     Magnitogorsk Iron & Steel Works PJSC     2,024,470  
    158,695     Magnitogorsk Iron & Steel Works PJSC Sponsored GDR (Registered)     1,088,979  
    775,859     MMC Norilsk Nickel PJSC ADR     21,517,400  
    209,035     Mobile TeleSystems PJSC Sponsored ADR     1,803,972  
    5,139,930     Moscow Exchange MICEX-RTS PJSC     10,315,936  
    44,012     Novatek PJSC Sponsered GDR (Registered)     6,771,590  
    480,848     Novolipetsk Steel PJSC GDR     11,896,023  
    85,680     PhosAgro PJSC GDR (Registered)     1,094,375  
    515,007     Polymetal International Plc     10,728,846  
    7,629     Polyus PJSC     1,456,297  
    62,936     Polyus PJSC GDR (Registered)     5,953,792  
    324,950     Raspadskaya OJSC     622,307  
    149,202,000     ROSSETI PJSC     3,296,136  
    4,283,000     RusHydro PJSC     43,815  
    30,090     Safmar Financial Investment *     185,118  
    2,621,830     Sberbank of Russia PJSC     8,533,401  
    1,076,721     Sberbank of Russia PJSC Sponsored ADR     14,203,652  
    
Shares
    Description   Value ($)  
          Russia — continued  
    198,464     Severstal PJSC GDR (Registered)     2,885,917  
    2,110,100     Surgutneftegas PJSC     974,705  
    2,733,683     Surgutneftegas PJSC Sponsored ADR     12,278,009  
    351,065     Tatneft PJSC Sponsored ADR     13,238,869  
    92,306     TCS Group Holding Plc GDR (Registered)     2,831,631  
    28,395,000     Unipro PJSC     1,030,859  
    376,156     VTB Bank PJSC GDR (Registered)     344,667  
    3,313     X5 Retail Group NV GDR (Registered)     118,559  
     

 

 

 
    Total Russia     223,216,250  
     

 

 

 
          Saudi Arabia — 0.0%  
    48,386     Al Rajhi Bank     964,177  
    14,148     Arriyadh Development Co     66,503  
    6,028     Samba Financial Group     49,687  
     

 

 

 
    Total Saudi Arabia     1,080,367  
     

 

 

 
          Singapore — 0.8%  
    249,100     AEM Holdings Ltd     650,886  
    648,700     Asian Pay Television Trust     58,032  
    406,888     CapitaLand Integrated Commercial Trust (REIT)     586,221  
    267,500     CapitaLand Ltd     619,268  
    170,800     City Developments Ltd     983,041  
    1,662,100     ComfortDelGro Corp Ltd     2,033,354  
    523,000     DBS Group Holdings Ltd     9,756,874  
    512,600     First Real Estate Investment Trust     161,932  
    693,999     Japfa Ltd     384,089  
    142,700     Jardine Cycle & Carriage Ltd     2,052,433  
    107,300     Keppel DC (REIT)     224,588  
    1,156,300     Mapletree Industrial Trust (REIT)     2,524,672  
    330,700     Mapletree Logistics Trust (REIT)     483,865  
    1,759,900     Mapletree North Asia Commercial Trust (REIT)     1,174,141  
    21,300     Oversea-Chinese Banking Corp Ltd     158,803  
    545,900     Sasseur Real Estate Investment Trust     328,866  
    954,100     Silverlake Axis Ltd     188,049  
    99,800     Singapore Exchange Ltd     658,041  
    479,400     StarHub Ltd     460,500  
    48,700     United Overseas Bank Ltd     810,001  
    87,900     Venture Corp Ltd     1,226,846  
    122,400     Wilmar International Ltd     381,019  
    25,307,177     Yangzijiang Shipbuilding Holdings Ltd     16,445,089  
    866,500     Yanlord Land Group Ltd     715,351  
     

 

 

 
    Total Singapore     43,065,961  
     

 

 

 
          South Africa — 1.9%  
    2,215,032     Absa Group Ltd     15,665,618  
    39,768     AECI Ltd     218,777  
    16,868     Anglo American Platinum Ltd     1,223,531  
    42,400     AngloGold Ashanti Ltd Sponsored ADR     918,808  
    244,123     Aspen Pharmacare Holdings Ltd *     1,938,797  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          South Africa — continued  
    207,964     Astral Foods Ltd     1,805,191  
    45,152     AVI Ltd     207,021  
    533,661     Barloworld Ltd     2,399,057  
    351,369     Bidvest Group Ltd (The)     3,683,547  
    1,352,911     Blue Label Telecoms Ltd *     343,628  
    37,473     Clicks Group Ltd     565,819  
    47,413     Discovery Ltd     375,569  
    896,766     Emira Property Fund Ltd (REIT)     376,998  
    1,793     Gold Fields Ltd     15,547  
    352,000     Gold Fields Ltd Sponsored ADR     3,065,920  
    2,440,707     Growthpoint Properties Ltd (REIT)     1,874,181  
    315,643     Imperial Logistics Ltd     787,393  
    316,507     Investec Ltd     768,263  
    339,709     Kumba Iron Ore Ltd     11,545,956  
    350,319     Lewis Group Ltd     497,812  
    146,808     Liberty Holdings Ltd     563,770  
    757,281     Life Healthcare Group Holdings Ltd     774,090  
    755,346     Momentum Metropolitan Holdings     759,431  
    435,928     Motus Holdings Ltd *     1,618,915  
    299,433     Mr Price Group Ltd     3,130,678  
    133,026     Naspers Ltd – N Shares     26,743,141  
    989,609     Netcare Ltd     786,704  
    4,536,827     Old Mutual Ltd     3,407,680  
    628,102     Pepkor Holdings Ltd     559,710  
    96,661     Rand Merchant Investment Holdings Ltd     189,265  
    31,582     Remgro Ltd     186,496  
    329,396     Reunert Ltd     765,735  
    3,356,794     RMB Holdings Ltd *     276,267  
    2,054,215     Sanlam Ltd     7,318,051  
    38,934     Santam Ltd     617,988  
    88,670     Sappi Ltd *     165,433  
    4,383     Shoprite Holdings Ltd     36,247  
    2,273,278     Telkom SA SOC Ltd     4,618,878  
    25,373     Tiger Brands Ltd     321,442  
    1,190,440     Truworths International Ltd     2,746,364  
    267,529     Tsogo Sun Gaming Ltd     88,786  
    160,482     Vodacom Group Ltd     1,273,612  
    244,310     Wilson Bayly Holmes-Ovcon Ltd *     1,598,265  
     

 

 

 
    Total South Africa     106,824,381  
     

 

 

 
          South Korea — 2.8%  
    79,547     Aekyung Petrochemical Co Ltd     678,471  
    26,575     Aju Capital Co Ltd     304,970  
    150,493     BNK Financial Group Inc     765,691  
    5,522     Com2uSCorp     670,272  
    11,121     Daou Data Corp     126,206  
    128,520     DB HiTek Co Ltd     4,127,309  
    42,996     DB Insurance Co Ltd     1,709,607  
    13,945     DongKook Pharmaceutical Co Ltd     323,928  
    520,896     Dongwon Development Co Ltd     2,077,461  
    16,927     Doosan Fuel Cell Co Ltd *     763,038  
    13,356     DoubleUGames Co Ltd     708,049  
    
Shares
    Description   Value ($)  
          South Korea — continued  
    17,652     GS Home Shopping Inc     2,191,475  
    879,071     Hana Financial Group Inc     26,718,241  
    66,170     Hankook Tire & Technology Co Ltd     1,958,676  
    35,827     Huons Co Ltd     2,030,413  
    11,634     Hy-Lok Corp     144,213  
    30,038     Hyundai Home Shopping Network Corp     1,981,731  
    16,334     Hyundai Mobis Co Ltd     3,605,711  
    20,533     Hyundai Motor Co     3,373,529  
    1,299     Ilyang Pharmaceutical Co Ltd     75,781  
    194,899     Industrial Bank of Korea     1,634,184  
    145,130     JB Financial Group Co Ltd     715,756  
    8,933     JNTC Co Ltd *     91,051  
    168,733     KB Financial Group Inc     6,975,449  
    10,174     KC Co Ltd     229,284  
    3,159     KEPCO Plant Service & Engineering Co Ltd     82,886  
    540,333     Kia Motors Corp     28,261,718  
    77,111     Korea Asset In Trust Co Ltd     276,042  
    45,196     Korea Autoglass Corp     674,070  
    53,855     Korean Reinsurance Co     376,863  
    6,488     KT Skylife Co Ltd     52,671  
    173,324     KT&G Corp     12,933,932  
    95,874     LF Corp     1,275,505  
    102,771     LG Electronics Inc     7,944,494  
    20,004     LOTTE Himart Co Ltd     568,214  
    28,523     Mirae Asset Life Insurance Co Ltd     101,691  
    1,081     NCSoft Corp     794,309  
    14,116     NHN KCP Corp     853,940  
    42,253     Posco International Corp     507,853  
    37,051     S&T Motiv Co Ltd     1,664,836  
    60,458     Samjin Pharmaceutical Co Ltd     1,573,795  
    12,344     Sangsangin Co Ltd     72,206  
    8,508     Sebang Global Battery Co Ltd     337,930  
    658,940     Shinhan Financial Group Co Ltd     19,403,108  
    14,759     SK Telecom Co Ltd     3,158,300  
    295,441     SK Telecom Co Ltd Sponsored ADR     6,945,818  
    33,965     SL Corp     506,754  
    13,952     Soulbrain Holdings Co Ltd     544,588  
    180     Taekwang Industrial Co Ltd     124,947  
    234,972     Woori Financial Group Inc     2,078,321  
    87,833     Yuhan Corp     5,115,588  
     

 

 

 
    Total South Korea     160,210,875  
     

 

 

 
          Spain — 1.1%  
    31,977     Acerinox SA     331,370  
    166,901     ACS Actividades de Construccion y Servicios SA *     5,272,896  
    28,578     Aena SME SA *     4,655,585  
    72,164     Almirall SA (a)     928,194  
    83,763     Amadeus IT Group SA     5,759,915  
    44,710     Atresmedia Corp de Medios de Comunicacion SA (a)     158,489  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Spain — continued  
    805,450     Banco Bilbao Vizcaya Argentaria SA     3,729,696  
    2,540,439     Banco Santander SA *     7,367,572  
    17,035     Bankinter SA     84,477  
    96,025     CaixaBank SA     245,647  
    111,319     Cia de Distribucion Integral Logista Holdings SA     2,052,793  
    28,843     Ebro Foods SA     682,595  
    27,069     eDreams ODIGEO SA * (a)     121,368  
    4,863     Enagas SA     118,807  
    251,639     Endesa SA     7,232,751  
    88,667     Faes Farma SA     397,723  
    2,450     Grupo Catalana Occidente SA     79,971  
    304,505     Iberdrola SA     4,180,157  
    176,689     Industria de Diseno Textil SA     5,865,081  
    467,142     Mediaset Espana Comunicacion SA *     2,105,559  
    334,336     Red Electrica Corp SA     6,834,854  
    13,586     Repsol SA     130,218  
    1,305,014     Unicaja Banco SA *     1,028,223  
    38,623     Viscofan SA     2,737,294  
     

 

 

 
    Total Spain     62,101,235  
     

 

 

 
          Sweden — 0.4%  
    255,829     Betsson AB *     2,207,081  
    6,757     Bufab AB *     127,678  
    18,848     Humana AB *     118,827  
    101,076     Inwido AB *     1,239,058  
    9,787     Lindab International AB     170,702  
    12,999     New Wave Group AB – B Shares *     76,404  
    405,527     Nordea Bank Abp *     3,465,811  
    33,824     Skanska AB – B Shares     803,690  
    7,268     Swedbank AB – A Shares *     131,601  
    43,536     Swedish Match AB     3,522,144  
    25,117     Volvo AB – A Shares *     577,310  
    313,867     Volvo AB – B Shares *     7,148,824  
     

 

 

 
    Total Sweden     19,589,130  
     

 

 

 
          Switzerland — 0.4%  
    25,743     ABB Ltd (Registered)     680,843  
    57,545     Adecco Group AG (Registered)     3,478,714  
    2,225     ALSO Holding AG (Registered) *     582,312  
    15,402     ams AG *     394,786  
    27,742     Banque Cantonale Vaudoise (Registered)     2,856,748  
    6,642     BKW AG     687,272  
    2,433     Bobst Group SA (Registered)     141,425  
    2,568     Huber + Suhner AG (Registered)     208,985  
    1,531     Kardex Holding AG (Registered)     301,564  
    2,185     Logitech International SA (Registered)     194,738  
    5,037     Mobilezone Holding AG (Registered)     53,830  
    40,375     Novartis AG (Registered)     3,655,370  
    4,260     Roche Holding AG     1,416,103  
    27,959     Roche Holding AG – Genusschein     9,183,047  
    
Shares
    Description   Value ($)  
          Switzerland — continued  
    5,011     Vetropack Holding AG (Registered) *     326,674  
    6,132     Zehnder Group AG – Class RG     333,083  
     

 

 

 
    Total Switzerland     24,495,494  
     

 

 

 
          Taiwan — 6.2%  
    302,000     Ability Enterprise Co Ltd     146,592  
    21,000     Acter Group Corp Ltd     142,570  
    358,000     Alchip Technologies Ltd     8,393,252  
    46,678     Amazing Microelectronic Corp     150,669  
    2,037,672     Asustek Computer Inc     17,773,879  
    65,000     Aten International Co Ltd     189,848  
    3,042,000     Catcher Technology Co Ltd     20,077,287  
    1,300,000     Cathay Financial Holding Co Ltd     1,842,507  
    1,000,525     Chailease Holding Co Ltd     5,489,007  
    1,494,660     Chicony Electronics Co Ltd     4,475,624  
    120,000     Chicony Power Technology Co Ltd     283,165  
    3,495,000     China Development Financial Holding Corp     1,094,549  
    226,400     China Motor Corp *     381,995  
    390,000     Chong Hong Construction Co Ltd     1,135,857  
    2,135,000     Coretronic Corp     2,630,868  
    13,579,000     CTBC Financial Holding Co Ltd     9,133,425  
    61,000     Depo Auto Parts Ind Co Ltd     111,672  
    232,000     Elan Microelectronics Corp     1,075,148  
    608,000     Elite Material Co Ltd     3,328,810  
    241,000     Elitegroup Computer Systems Co Ltd *     145,886  
    1,712,000     Eva Airways Corp     759,821  
    496,000     Farglory Land Development Co Ltd     908,908  
    45,080     Feng TAY Enterprise Co Ltd     289,867  
    2,163,000     FLEXium Interconnect Inc     9,114,447  
    244,000     Formosa Advanced Technologies Co Ltd     316,809  
    1,415,000     Formosa Taffeta Co Ltd     1,521,192  
    1,188,000     Foxconn Technology Co Ltd     2,192,443  
    4,263,000     Fubon Financial Holding Co Ltd     6,626,230  
    1,875,000     Gigabyte Technology Co Ltd     5,163,819  
    61,000     Gold Circuit Electronics Ltd *     110,355  
    5,493,000     Grand Pacific Petrochemical *     4,512,722  
    730,580     Great Wall Enterprise Co Ltd     1,187,574  
    121,000     Holiday Entertainment Co Ltd     268,915  
    364,000     Holtek Semiconductor Inc     917,725  
    19,351,406     Hon Hai Precision Industry Co Ltd     55,864,681  
    462,000     Huaku Development Co Ltd     1,430,978  
    389,980     IEI Integration Corp     658,988  
    27,660     Innodisk Corp     158,399  
    242,000     International Games System Co Ltd     5,769,494  
    161,000     Kung Long Batteries Industrial Co Ltd     791,102  
    1,374,000     Lite-On Technology Corp     2,315,479  
    31,000     Lotes Co Ltd     484,241  
    1,973,992     Mercuries Life Insurance Co Ltd *     601,787  
    455,000     Merry Electronics Co Ltd     2,260,868  
    760,000     Micro-Star International Co Ltd     3,328,598  
    2,083,368     Mitac Holdings Corp     2,155,585  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Taiwan — continued  
    19,000     Nan Liu Enterprise Co Ltd     128,659  
    391,000     Nantex Industry Co Ltd     842,951  
    2,027,000     Novatek Microelectronics Corp     21,275,018  
    3,000     Parade Technologies Ltd     109,034  
    3,021,000     Pegatron Corp     6,911,905  
    217,000     Phison Electronics Corp     2,458,857  
    7,929,566     Pou Chen Corp     8,685,477  
    2,372,000     Qisda Corp     1,954,511  
    1,476,000     Quanta Computer Inc     3,984,070  
    7,637,020     Radiant Opto-Electronics Corp     31,103,943  
    530,000     Ruentex Development Co Ltd     782,390  
    29,000     Sheng Yu Steel Co Ltd     20,470  
    200,000     Shinkong Insurance Co Ltd     273,178  
    3,000     Silergy Corp.     233,730  
    615,400     Simplo Technology Co Ltd     7,155,313  
    136,000     Soft-World International Corp     431,005  
    141,000     Standard Chemical & Pharmaceutical Co Ltd     192,912  
    802,000     Sunplus Technology Co Ltd *     438,952  
    610,000     Syncmold Enterprise Corp     1,852,111  
    15,400     Tah Hsin Industrial Corp     39,311  
    1,123,000     Taiwan PCB Techvest Co Ltd     1,797,851  
    2,214,000     Taiwan Semiconductor Manufacturing Co Ltd     37,686,330  
    192,550     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR (a)     18,681,201  
    22,000     Thinking Electronic Industrial Co Ltd     112,755  
    516,264     TOPBI International Holdings Ltd     570,966  
    432,064     Topco Scientific Co Ltd     1,842,215  
    29,000     Topkey Corp     170,112  
    652,000     Transcend Information Inc     1,476,809  
    516,000     Tripod Technology Corp     2,219,304  
    301,681     United Integrated Services Co Ltd     2,420,318  
    1,122,000     United Microelectronics Corp     1,593,846  
    114,000     Universal Inc     426,415  
    8,000     Universal Vision Biotechnology Co Ltd     83,378  
    176,000     Wah Lee Industrial Corp     477,390  
    446,000     Wistron Corp     466,493  
    38,000     Wiwynn Corp     909,986  
    493,000     Youngtek Electronics Corp     1,083,440  
    20,000     Yulon Nissan Motor Co Ltd     183,583  
     

 

 

 
    Total Taiwan     348,789,826  
     

 

 

 
          Thailand — 0.1%  
    669,000     AP Thailand Pcl NVDR     154,720  
    258,600     Bangkok Bank Pcl NVDR     1,008,969  
    7,548,600     Beauty Community Pcl NVDR *     384,166  
    65,900     Hana Microelectronics Pcl NVDR     93,082  
    8,324,200     IRPC Pcl NVDR     748,490  
    70,500     KCE Electronics Pcl NVDR     93,743  
    82,900     Kiatnakin Phatra Bank Pcl NVDR     135,373  
    708,900     Krung Thai Bank Pcl NVDR     250,232  
    
Shares
    Description   Value ($)  
          Thailand — continued  
    274,300     Origin Property Pcl NVDR     70,273  
    363,200     Pruksa Holding Pcl (Foreign Registered)     150,126  
    1,515,300     Pruksa Holding Pcl NVDR     626,339  
    849,700     SC Asset Corp Pcl (Foreign Registered)     76,969  
    2,100     Siam Commercial Bank Pcl NVDR (The)     5,926  
    207,800     Somboon Advance Technology Pcl NVDR     98,686  
    222,500     SPCG Pcl NVDR     158,100  
    1,073,525     Supalai Pcl (Foreign Registered)     635,026  
    583,000     Supalai Pcl NVDR     344,864  
    201,500     Thai Vegetable Oil Pcl NVDR     216,549  
    20,773,800     TMB Bank Pcl NVDR     721,074  
    453,300     TTW Pcl NVDR     190,438  
    985,600     Univentures Pcl NVDR     99,096  
     

 

 

 
    Total Thailand     6,262,241  
     

 

 

 
          Turkey — 0.8%  
    970,171     Aksa Akrilik Kimya Sanayii AS     1,328,020  
    413,025     Alkim Alkali Kimya AS     720,822  
    204,837     Anadolu Efes Biracilik Ve Malt Sanayii AS     548,502  
    426,031     Arcelik AS *     1,486,431  
    2,961,632     Aselsan Elektronik Sanayi Ve Ticaret AS     6,546,667  
    61,656     BIM Birlesik Magazalar AS     552,359  
    4,070,023     Dogan Sirketler Grubu Holding AS     1,249,083  
    220,674     Dogus Otomotiv Servis ve Ticaret AS     751,908  
    13,998,623     Emlak Konut Gayrimenkul Yatirim Ortakligi AS (REIT)     3,855,684  
    1,821,359     Enerjisa Enerji AS     2,516,209  
    3,280,733     Eregli Demir ve Celik Fabrikalari TAS     4,612,161  
    19,144     Ford Otomotiv Sanayi AS     263,381  
    389,210     Goodyear Lastikleri TAS *     372,464  
    1,052,357     KOC Holding AS     2,368,371  
    228,571     Koza Altin Isletmeleri AS *     2,178,338  
    318,983     Koza Anadolu Metal Madencilik Isletmeleri AS *     515,941  
    338,429     Ozak Gayrimenkul Yatirim Ortakligi (REIT) *     183,216  
    653,505     Selcuk Ecza Deposu Ticaret ve Sanayi AS     1,047,132  
    44,633     Tofas Turk Otomobil Fabrikasi AS     162,222  
    843,363     Torunlar Gayrimenkul Yatirim Ortakligi AS (REIT) *     390,289  
    2,740,297     Turkiye Garanti Bankasi AS *     3,069,651  
    11,505,129     Turkiye Is Bankasi – Class C *     9,604,817  
    1,210,974     Turkiye Sise ve Cam Fabrikalari AS     1,052,099  
    45,765     Vestel Beyaz Esya Sanayi ve Ticaret AS     201,116  
     

 

 

 
    Total Turkey     45,576,883  
     

 

 

 
          United Arab Emirates — 0.1%  
    196,980     Abu Dhabi Islamic Bank PJSC     251,857  
    53,315     Abu Dhabi National Oil Co for Distribution PJSC     50,161  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          United Arab Emirates — continued  
    723,427     Dubai Islamic Bank PJSC     876,784  
    264,256     Emaar Malls PJSC *     131,134  
    6,655,008     Emaar Properties PJSC *     5,741,669  
    150,839     Emirates NBD Bank PJSC     449,175  
     

 

 

 
    Total United Arab Emirates     7,500,780  
     

 

 

 
          United Kingdom — 3.9%      
    360,410     3i Group Plc     5,095,140  
    105,452     888 Holdings Plc     382,198  
    839     Admiral Group Plc     31,603  
    131,352     Aggreko Plc     973,668  
    36,501     Alliance Pharma Plc     36,294  
    32,323     Anglo American Plc     941,241  
    21,411     AVEVA Group Plc (a)     963,373  
    94,298     Aviva Plc     399,238  
    66,509     B&M European Value Retail SA     420,512  
    32,351     Bank of Georgia Group Plc *     485,545  
    1,188,785     Barratt Developments Plc *     9,746,114  
    131,393     Bellway Plc     4,935,590  
    220,702     Berkeley Group Holdings Plc (The)     13,490,114  
    4,300     BP Plc Sponsored ADR (a)     84,108  
    72,829     British American Tobacco Plc     2,563,745  
    201,700     British American Tobacco Plc Sponsored ADR     7,122,027  
    2,407,646     BT Group Plc     3,726,820  
    28,219     Bunzl Plc     878,923  
    41,219     Carnival Plc     714,506  
    1,823,655     Centamin Plc     2,762,677  
    76,903     Central Asia Metals Plc     221,093  
    39,959     CMC Markets Plc     207,056  
    100,547     Coca-Cola HBC AG *     2,872,088  
    401,494     Compass Group Plc     7,064,552  
    42,827     Computacenter Plc     1,262,552  
    5,531     Cranswick Plc     252,061  
    29,293     Daily Mail & General Trust Plc – Class A     264,506  
    1,199     Diploma Plc     33,668  
    3,669     Dixons Carphone Plc     5,379  
    41,521     Dunelm Group Plc *     667,792  
    87,406     Electrocomponents Plc     941,228  
    15,495     EMIS Group Plc     201,161  
    30,214     Evraz Plc     151,829  
    83,932     Ferguson Plc     9,395,266  
    824,323     Ferrexpo Plc     2,311,608  
    200,635     Frasers Group Plc *     1,119,689  
    17,273     Fresnillo Plc     243,010  
    7,548     Games Workshop Group Plc     988,451  
    56,840     Go-Ahead Group Plc (The) *     615,408  
    3,708     Greggs Plc *     83,013  
    143,158     Halfords Group Plc     507,985  
    2,454     Hikma Pharmaceuticals Plc     84,766  
    346,000     HSBC Holdings Plc *     1,804,482  
    310,097     IG Group Holdings Plc     3,303,602  
    
Shares
    Description   Value ($)  
          United Kingdom — continued      
    52,415     IMI Plc     776,769  
    215,363     Inchcape Plc *     1,714,448  
    323,262     Indivior Plc *     437,009  
    83,066     International Personal Finance Plc * (a)     97,649  
    184,324     Investec Plc     453,831  
    984,482     ITV Plc *     1,225,139  
    611,010     J Sainsbury Plc     1,705,545  
    281,776     JD Sports Fashion Plc *     2,891,449  
    109,177     John Laing Group Plc     459,300  
    15,984     Johnson Matthey Plc     470,994  
    22,942     Jupiter Fund Management Plc     74,100  
    1,703,064     Kingfisher Plc *     6,184,888  
    2,055,070     Legal & General Group Plc     6,786,605  
    1,370,326     M&G Plc     3,400,096  
    1,076,064     Micro Focus International Plc *     4,956,073  
    172,056     Mitchells & Butlers Plc *     484,432  
    35,607     Mondi Plc     779,123  
    100,325     Morgan Advanced Materials Plc     375,970  
    50,417     Morgan Sindall Group Plc     935,007  
    331,118     National Express Group Plc *     975,760  
    73,712     National Grid Plc     825,467  
    34,415     Next Plc     2,972,864  
    23,905     Numis Corp Plc     109,731  
    94,460     OSB Group Plc *     489,299  
    161,298     Paragon Banking Group Plc     866,284  
    516,093     Persimmon Plc     18,110,858  
    254,514     Pets at Home Group Plc     1,403,687  
    102,236     Phoenix Group Holdings Plc     968,251  
    148,588     Playtech Plc *     758,459  
    209,481     Plus500 Ltd     4,299,320  
    543,697     Premier Foods Plc *     636,569  
    619,774     QinetiQ Group Plc     2,409,861  
    104,630     Redde Northgate Plc     336,566  
    156,273     Royal Dutch Shell Plc – A Shares     2,638,491  
    479,527     Royal Dutch Shell Plc – B Shares     7,701,433  
    904,500     Royal Dutch Shell Plc – Class B Sponsored ADR     29,351,025  
    79,395     Royal Mail Plc     321,753  
    448,818     RSA Insurance Group Plc     4,032,824  
    7,500     Smith & Nephew Plc Sponsored ADR     295,125  
    71,920     Smiths Group Plc     1,381,889  
    33,891     Softcat Plc     510,938  
    394,953     Spirent Communications Plc     1,348,685  
    110,403     Stock Spirits Group Plc     346,259  
    697,734     Tate & Lyle Plc     5,894,283  
    592,676     Taylor Wimpey Plc *     1,206,203  
    75,433     TI Fluid Systems Plc *     221,702  
    43,380     Vesuvius Plc     280,119  
    152,686     WM Morrison Supermarkets Plc     363,362  
    520,993     WPP Plc     5,020,157  
     

 

 

 
    Total United Kingdom     220,641,332  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          United States — 18.0%  
    11,100     1st Source Corp.     414,252  
    303,600     ACCO Brands Corp. (a)     2,325,576  
    116,400     Acushnet Holdings Corp. (a) (b)     4,388,280  
    46,600     Adtalem Global Education, Inc. * (a)     1,334,158  
    93,700     ADTRAN, Inc.     1,183,899  
    46,900     AgroFresh Solutions, Inc. *     107,870  
    21,600     Alexion Pharmaceuticals, Inc. *     2,637,576  
    56,300     Alliance Data Systems Corp.     4,117,782  
    54,300     Ally Financial, Inc. (a)     1,609,995  
    46,500     Alpha & Omega Semiconductor Ltd. *     1,155,060  
    19,400     Amalgamated Bank – Class A     246,768  
    7,800     AMC Networks, Inc. – Class A * (a)     257,166  
    64,594     American Express Co. (a)     7,660,202  
    14,700     American Public Education, Inc. *     456,288  
    7,300     American Vanguard Corp.     110,668  
    54,200     Amneal Pharmaceuticals, Inc. * (a)     214,090  
    39,500     AngioDynamics, Inc. *     561,690  
    1,000     Anthem, Inc. (a)     311,520  
    2,200     Applied Industrial Technologies, Inc.     172,546  
    24,600     ArcBest Corp.     1,030,986  
    9,700     Arcosa, Inc.     503,333  
    152,100     Arlo Technologies, Inc. *     800,046  
    36,500     Arrow Electronics, Inc. *     3,345,225  
    2,987     Arrow Financial Corp.     88,893  
    116,600     Associated Banc-Corp. (a)     1,786,312  
    104,100     AT&T, Inc. (a)     2,992,875  
    93,100     Athene Holding Ltd. – Class A * (a)     4,128,985  
    31,000     Atlas Air Worldwide Holdings, Inc. * (a)     1,730,110  
    81,600     AutoNation, Inc. * (a)     5,001,264  
    81,100     Avient Corp. (a)     2,964,205  
    33,100     Avnet, Inc.     1,004,585  
    22,800     AZZ, Inc.     1,016,652  
    12,900     BankFinancial Corp.     104,103  
    4,100     Bar Harbor Bankshares     94,505  
    11,700     Bassett Furniture Industries, Inc.     183,690  
    63,800     Bed Bath & Beyond, Inc.     1,337,248  
    9,830     Bel Fuse, Inc. – Class B     144,108  
    109,300     Benchmark Electronics, Inc.     2,658,176  
    137,300     Big Lots, Inc. (a) (b)     7,094,291  
    11,200     Biogen, Inc. *     2,689,904  
    17,400     Bloomin’ Brands, Inc. (a)     304,500  
    2,800     Booking Holdings, Inc. * (a)     5,679,660  
    178,100     BorgWarner, Inc. (a) (b)     6,919,185  
    48,200     Boston Private Financial Holdings, Inc.     345,112  
    108,700     Brady Corp. – Class A     4,802,366  
    13,700     Bridge Bancorp, Inc.     305,784  
    73,200     Brightsphere Investment Group, Inc.     1,295,640  
    41,600     Brinker International, Inc. (a)     2,084,576  
    78     Bristol-Myers Squibb Co.     4,867  
    15,300     Brookline Bancorp, Inc.     173,961  
    2,500     Cabot Corp.     103,525  
    31,000     Calix, Inc. * (a)     734,080  
    
Shares
    Description   Value ($)  
          United States — continued  
    13,300     Camden National Corp.     456,855  
    46,500     Capital One Financial Corp. (a)     3,982,260  
    58,200     Capri Holdings Ltd. *     2,059,116  
    97,360     Carnival Corp. (a)     1,945,253  
    3,100     Carriage Services, Inc.     84,351  
    68,900     Carrier Global Corp. (a)     2,623,023  
    79,700     Cars.com, Inc. *     890,249  
    22,300     Cathay General Bancorp     629,975  
    42,500     CBIZ, Inc. *     1,029,350  
    67,800     CBRE Group, Inc. – Class A *     4,145,292  
    43,000     Centene Corp. * (a)     2,650,950  
    8,700     Central Garden & Pet Co. *     348,348  
    25,800     Central Garden & Pet Co. – Class A *     951,762  
    4,815     Century Bancorp, Inc. – Class A     355,828  
    375,100     CenturyLink, Inc. (a)     3,919,795  
    537,182     Charles Schwab Corp. (The) (a)     26,203,738  
    53,300     Chevron Corp. (a)     4,646,694  
    16,700     Cigna Corp. (a)     3,492,638  
    16,000     Cisco Systems, Inc. (a)     688,320  
    83,900     Citigroup, Inc.     4,620,373  
    52,600     Citizens Financial Group, Inc. (a)     1,717,916  
    11,860     Civista Bancshares, Inc.     199,604  
    38,771     Clarus Corp.     558,302  
    8,600     CNB Financial Corp.     169,248  
    66,483     Coca-Cola Co. (The) (a)     3,430,523  
    32,500     Cognizant Technology Solutions Corp. – Class A (a)     2,539,225  
    69,200     Comcast Corp. – Class A (a)     3,476,608  
    8,500     Community Trust Bancorp, Inc.     287,725  
    38,600     Computer Programs & Systems, Inc.     1,097,398  
    97,300     Comtech Telecommunications Corp.     1,854,538  
    288,191     Concho Resources, Inc. (a) (b)     16,565,219  
    57,300     Consolidated Communications Holdings, Inc.*     320,880  
    27,800     Cooper Tire & Rubber Co.     1,104,494  
    43,300     Core-Mark Holding Co., Inc.     1,350,527  
    445,500     CoreCivic, Inc. (REIT)     3,158,595  
    162,400     CorePoint Lodging, Inc. (REIT)     1,057,224  
    24,300     Cornerstone Building Brands, Inc. * (a)     212,382  
    84,700     Corteva, Inc. (a)     3,245,704  
    405,300     Coty Inc. – Class A (a)     2,914,107  
    100     Covetrus, Inc. * (a)     2,702  
    16,400     CRA International, Inc.     751,940  
    29,000     CSG Systems International, Inc. (a)     1,258,020  
    22,600     CTS Corp.     688,396  
    47,200     Curo Group Holdings Corp.     407,808  
    49,700     CVS Health Corp. (a)     3,369,163  
    35,799     CytomX Therapeutics, Inc. *     269,208  
    1,100     Deluxe Corp. (a)     28,314  
    191,200     Designer Brands, Inc. – Class A (a)     1,510,480  
    75,100     DHI Group, Inc. *     144,192  
    2,600     Diamond Hill Investment Group, Inc.     355,732  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          United States — continued  
    29,000     Dick’s Sporting Goods, Inc. (a)     1,647,490  
    15,800     Digi International, Inc. * (a)     271,128  
    57,800     Dime Community Bancshares, Inc.     835,210  
    1,082,700     Discovery, Inc. – Class C * (b)     26,006,454  
    121,900     DISH Network Corp. – Class A * (a)     4,372,553  
    4,047     Donegal Group, Inc. – Class A     56,577  
    118,200     Donnelley Financial Solutions, Inc. *     1,925,478  
    42,900     DR Horton, Inc.     3,196,050  
    43,900     DSP Group, Inc. *     738,837  
    23,000     Ducommun, Inc. *     1,143,560  
    7,800     Duluth Holdings Inc. – Class A * (a)     114,660  
    34,100     Edwards Lifesciences Corp. * (a)     2,860,649  
    25,600     Ellington Financial, Inc. (REIT)     368,640  
    3,000     Employers Holdings, Inc.     91,530  
    30,100     Encore Capital Group, Inc. * (a)     1,027,614  
    300     Encore Wire Corp.     15,501  
    433,400     Endo International Plc * (a)     2,201,672  
    22,100     Endurance International Group Holdings, Inc. *     209,508  
    500     EnerSys (a)     40,905  
    30,200     Ennis, Inc.     494,374  
    169,425     Enova International, Inc. * (a)     3,542,677  
    400     EnPro Industries, Inc.     28,324  
    120,718     EOG Resources, Inc. (a)     5,659,260  
    4,000     ePlus, Inc. *     337,240  
    1,288,200     ESC NII Holdings, Inc. (c)     2,705,220  
    7,400     Escalade, Inc.     142,598  
    7,300     ESSA Bancorp, Inc. (a)     115,486  
    129,000     Ethan Allen Interiors, Inc.     2,356,830  
    51,300     Evolution Petroleum Corp.     155,952  
    64,300     Exelon Corp. (a)     2,640,801  
    31,500     Expedia Group, Inc. (a)     3,921,435  
    82,600     Exxon Mobil Corp. (a)     3,149,538  
    1,200     Federal Agricultural Mortgage Corp. – Class C     81,240  
    102,700     Federal Signal Corp. (b)     3,186,781  
    99,000     Federated Hermes, Inc. (a)     2,657,160  
    27,100     FedNat Holding Co.     152,844  
    20,130     Financial Institutions, Inc.     402,801  
    12,826     First Community Bankshares, Inc.     270,244  
    9,900     First Financial Corp.     374,913  
    7,900     First Financial Northwest, Inc.     87,216  
    12,800     First Foundation, Inc. (a)     227,328  
    276,000     FirstEnergy Corp. (a) (e)     7,330,560  
    166,800     Flagstar Bancorp, Inc. (b)     5,844,672  
    4,100     FleetCor Technologies, Inc. * (a)     1,087,361  
    8,000     Flushing Financial Corp.     113,600  
    13,100     FONAR Corp.*     251,651  
    468,200     Ford Motor Co. (a)     4,251,256  
    74,500     Fox Corp. – Class A (a)     2,148,580  
    88,300     Fox Corp. – Class B *     2,505,954  
    27,000     FutureFuel Corp.     323,730  
    
Shares
    Description   Value ($)  
          United States — continued  
    15,400     G-III Apparel Group Ltd. * (a)     313,698  
    51,600     GameStop Corp. – Class A *     854,496  
    201,500     GCI Liberty, Inc. – Class A * (b)     18,360,680  
    98,400     General Motors Co. (a)     4,313,856  
    15,100     Genesco, Inc. * (a)     473,687  
    38,000     Genie Energy Ltd. – Class B     315,400  
    230,700     GEO Group, Inc. (The) (REIT)     2,180,115  
    12,400     Gilead Sciences, Inc. (a)     752,308  
    18,500     Goldman Sachs Group, Inc. (The)     4,265,730  
    28,900     Gorman-Rupp Co. (The)     950,810  
    1,500     Graham Holdings Co. – Class B     670,530  
    5,600     Great Southern Bancorp, Inc.     257,040  
    62,200     Greif, Inc. – Class A (a)     3,023,542  
    103,300     Griffon Corp. (a)     2,153,805  
    11,000     Gritstone Oncology, Inc. * (a)     33,550  
    72,600     Group 1 Automotive, Inc. (b)     8,625,606  
    160,388     Grubhub, Inc. * (b)     11,281,692  
    8,500     H&R Block, Inc. (a)     159,800  
    52,100     Hasbro, Inc. (a)     4,846,863  
    69,600     Haverty Furniture Cos, Inc.     1,894,512  
    2,700     Hawkins, Inc.     135,486  
    6,700     HB Fuller Co. (a)     350,611  
    145,120     HD Supply Holdings, Inc. *     8,099,147  
    10,200     HealthStream, Inc. *     190,536  
    51,681     HEICO Corp. (a)     6,386,738  
    22,500     Heidrick & Struggles International, Inc.     587,250  
    13,500     Heritage Financial Corp.     314,145  
    188,736     Herman Miller, Inc. (b)     6,726,551  
    54,775     Hilltop Holdings, Inc.     1,319,530  
    68,800     Hilton Grand Vacations, Inc. *     1,908,512  
    48,872     Hilton Worldwide Holdings, Inc. (a)     5,064,605  
    41,200     HNI Corp.     1,502,152  
    25,300     Honeywell International, Inc. (a)     5,159,176  
    86,200     HP, Inc. (a)     1,890,366  
    5,700     Hurco Cos, Inc.     169,917  
    11,320     Hyatt Hotels Corp. – Class A (a)     814,700  
    26,000     Hyster-Yale Materials Handling, Inc.     1,431,040  
    27,100     IDT Corp. – Class B *     323,032  
    309,050     iHeartMedia, Inc. – Class A * (a)     3,694,693  
    1,200     Independence Holding Co.     47,316  
    23,163     Independent Bank Corp.     394,003  
    19,800     Information Services Group, Inc. *     59,796  
    15,562     Ingles Markets, Inc. – Class A     584,976  
    47,100     Innospec, Inc.     3,875,859  
    1,200     Inogen, Inc. * (a)     42,084  
    135,900     Inphi Corp. * (a)     21,082,167  
    93,500     Insight Enterprises, Inc. * (a) (b)     6,683,380  
    13,000     Insteel Industries, Inc.     300,690  
    9,100     Integer Holdings Corp. * (a)     656,019  
    65,500     Intel Corp. (a)     3,166,925  
    23,900     Inter Parfums, Inc. (a)     1,298,009  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          United States — continued  
    35,000     Interface, Inc.     292,075  
    51,675     International Bancshares Corp. (b)     1,674,787  
    33,100     International Business Machines Corp. (a)     4,088,512  
    152,100     Invesco Ltd. (a)     2,468,583  
    415,500     Investors Bancorp, Inc. (a)     4,022,040  
    18,700     Jazz Pharmaceuticals Plc * (a)     2,631,277  
    118,473     JELD-WEN Holding, Inc. *     2,865,862  
    17,800     Johnson Outdoors, Inc. – Class A (b)     1,488,080  
    2,800     Jones Lang LaSalle, Inc. * (a)     370,412  
    30,400     Kelly Services, Inc. – Class A     621,984  
    31,900     Kezar Life Sciences, Inc. *     209,902  
    8,500     Kforce, Inc.     348,925  
    34,700     Kimball Electronics, Inc. *     534,727  
    89,400     Kimball International, Inc. – Class B     977,142  
    293,400     Kinder Morgan, Inc. (a)     4,219,092  
    8,400     Knoll, Inc.     114,744  
    109,500     Kohl’s Corp. (a)     3,525,900  
    18,800     Koppers Holdings, Inc. *     508,916  
    49,200     Kraft Heinz Co. (The) (a)     1,620,648  
    76,500     Kroger Co. (The) (a)     2,524,500  
    5,000     Kronos Worldwide, Inc. (a)     68,750  
    5,400     L B Foster Co. – Class A *     78,624  
    73,400     La-Z-Boy, Inc. (a)     2,718,736  
    6,100     Laboratory Corp. of America Holdings * (a)     1,219,024  
    18,200     Lakeland Financial Corp.     924,378  
    86,104     Las Vegas Sands Corp. (a)     4,796,854  
    11,000     LCNB Corp.     162,800  
    4,000     Leaf Group Ltd. *     22,560  
    10,500     Leidos Holdings, Inc. (a)     1,057,350  
    39,700     Lennar Corp. – Class A (a)     3,011,642  
    22,035     LENSAR, Inc. * (a)     188,840  
    103,700     Liberty Broadband Corp. – Class C * (a)     16,317,195  
    21,660     Liberty Media Corp-Liberty Formula One – Class C * (a)     904,955  
    244,711     Liberty Media Corp.-Liberty SiriusXM – Class C * (b)     10,035,598  
    345,900     Liberty TripAdvisor Holdings, Inc. – Class A * (a)     951,225  
    91,700     Lincoln National Corp. (a)     4,330,074  
    8,752     Live Nation Entertainment, Inc.*     574,569  
    19,400     LKQ Corp. * (a)     683,268  
    65,300     Luminex Corp. (a)     1,549,569  
    155,500     Lyft, Inc. – Class A * (a)     5,935,435  
    43,700     LyondellBasell Industries NV – Class A (a)     3,718,870  
    23,355     Macatawa Bank Corp.     181,235  
    103,980     Macquarie Infrastructure Corp. (a)     3,363,753  
    52,600     Marchex, Inc. – Class B *     113,616  
    5,131     Markel Corp. * (a)     4,996,722  
    5,700     Marlin Business Services Corp. (a)     59,223  
    36,430     Masonite International Corp. *     3,644,821  
    60,100     Materion Corp. (a) (b)     3,503,830  
    31,000     Matrix Service Co. *     296,980  
    
Shares
    Description   Value ($)  
          United States — continued  
    299,900     Maxim Integrated Products, Inc. (b)     24,903,696  
    54,800     MDC Holdings, Inc. (a) (b)     2,645,196  
    1,000     Mercantile Bank Corp.     24,830  
    18,300     Meridian Bancorp, Inc.     249,703  
    117,500     Meridian Bioscience, Inc. * (a)     2,220,750  
    102,700     Meritor, Inc. * (a)     2,711,280  
    15,500     Methode Electronics, Inc. (a)     542,810  
    77,100     MetLife, Inc.     3,559,707  
    131,900     MGIC Investment Corp. (a)     1,577,524  
    114,350     MGM Growth Properties LLC – Class A (REIT) (a)     3,495,679  
    64,600     Michaels Cos., Inc. (The) *     638,894  
    67,400     Micron Technology, Inc. * (a) (b)     4,319,666  
    1,600     MicroStrategy, Inc. – Class A * (a)     548,432  
    68,300     Modine Manufacturing Co. * (a)     745,836  
    9,100     Mohawk Industries, Inc. * (a)     1,145,053  
    89,400     Molson Coors Brewing Co. – Class B (a)     4,112,400  
    77,200     Moog, Inc. – Class A (a) (b)     5,972,192  
    43,600     Morgan Stanley (a)     2,695,788  
    51,600     Movado Group, Inc.     873,588  
    33,000     Mueller Industries, Inc. (a)     1,081,080  
    12,521     Murray Energy Corp. (c)     81,387  
    231,214     National General Holdings Corp.     7,879,773  
    6,300     National Presto Industries, Inc.     535,815  
    17,700     Natus Medical, Inc. * (a)     370,284  
    150,500     Nautilus, Inc. *     3,175,550  
    21,000     Neenah, Inc.     1,018,710  
    19,500     NETGEAR, Inc. * (a)     620,295  
    458,700     Newmark Group, Inc. – Class A(a)     3,220,074  
    29,100     NextGen Healthcare, Inc. * (a)     516,234  
    840     NexTier Oilfield Solutions, Inc. *     2,352  
    17,400     Northfield Bancorp, Inc.     193,662  
    4,737     Northrim BanCorp, Inc.     150,494  
    29,040     Northwest Bancshares, Inc.     343,543  
    68,900     nVent Electric Plc     1,584,700  
    97,600     Occidental Petroleum Corp. (a)     1,538,176  
    129,300     OFG Bancorp     2,165,775  
    13,000     Old National Bancorp     205,790  
    16,800     Olympic Steel, Inc. (a)     249,312  
    25,642     Oppenheimer Holdings, Inc. – Class A     756,183  
    50,400     Oracle Corp. (a)     2,909,088  
    163,000     Owens & Minor, Inc.     4,198,880  
    7,300     Park-Ohio Holdings Corp. (a)     205,057  
    2,400     Patrick Industries, Inc. (a)     151,296  
    82,500     Patterson Cos., Inc. (a)     2,290,200  
    27,100     PC Connection, Inc. (a) (b)     1,237,115  
    106,700     PDL BioPharma, Inc. * (a)     269,951  
    64,400     Penn Virginia Corp. * (a)     580,888  
    1,650     Penns Woods Bancorp, Inc.     42,174  
    101,900     PennyMac Financial Services, Inc. (a)     5,873,516  
    139,500     PennyMac Mortgage Investment Trust (REIT) (a)     2,385,450  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          United States — continued  
    8,300     Penske Automotive Group, Inc. (a)     457,081  
    110,900     Perdoceo Education Corp. * (a)     1,257,606  
    280,321     PG&E Corp. * (a)     3,560,077  
    3,400     Phibro Animal Health Corp. – Class A     64,226  
    52,200     Phillips 66 (a)     3,162,276  
    24,200     Photronics, Inc. *     280,478  
    83,000     PNM Resources, Inc.     4,076,130  
    1,900     Preformed Line Products Co.     115,235  
    12,500     Premier Financial Bancorp, Inc.     166,375  
    66,106     Premier Financial Corp.     1,369,055  
    142,200     Prestige Consumer Healthcare, Inc. * (a)     5,058,054  
    8,200     Principal Financial Group, Inc. (a)     408,278  
    12,900     Progress Software Corp. (a)     517,290  
    8,300     Protective Insurance Corp. – Class B (a)     118,607  
    10,500     Providence Service Corp. (The) * (a)     1,425,795  
    54,100     Prudential Financial, Inc. (a)     4,091,042  
    14,300     PulteGroup, Inc.     623,909  
    81,600     QEP Resources, Inc.     131,376  
    333,400     Qurate Retail, Inc. – Series A     3,490,698  
    1,700     Radian Group, Inc.     32,096  
    138,923     Raytheon Technologies Corp. (a)     9,963,558  
    243,400     Realogy Holdings Corp. * (a)     2,996,254  
    5,700     Regeneron Pharmaceuticals, Inc. * (a)     2,941,371  
    4,900     Renewable Energy Group, Inc. * (a)     284,592  
    7,233     Republic Bancorp, Inc. – Class A     255,325  
    181,800     Resideo Technologies, Inc. * (a)     3,361,482  
    43,000     Resources Connection, Inc.     520,730  
    15,400     Riverview Bancorp, Inc.     81,312  
    14,097     Rocky Brands, Inc.     408,813  
    8,000     Royal Caribbean Cruises Ltd.     630,480  
    7,200     Sally Beauty Holdings, Inc. * (a)     82,800  
    151,800     SandRidge Energy, Inc.*     405,306  
    205,700     Sanmina Corp. * (b)     6,544,345  
    1,200     Scholar Rock Holding Corp. * (a)     59,784  
    37,400     Scholastic Corp.     887,128  
    86,600     Schweitzer-Mauduit International, Inc. (a)     3,011,948  
    103,715     Sciplay Corp. – Class A *     1,544,316  
    5,200     SeaSpine Holdings Corp.*     73,944  
    53,700     Select Medical Holdings Corp. * (a)     1,294,170  
    13,876     Seneca Foods Corp. – Class A * (a)     581,127  
    152,995     Sensata Technologies Holding Plc * (a)     7,470,746  
    49,600     Shoe Carnival, Inc. (a)     1,813,872  
    20,600     Sierra Bancorp     453,200  
    31,700     Silgan Holdings, Inc. (a)     1,071,460  
    18,296     SkillSoft Corp. (c)     3,110,320  
    1,800     Sleep Number Corp. *     124,902  
    115,200     SLM Corp. (a)     1,222,272  
    91,200     Sonic Automotive, Inc. – Class A (a)     3,682,656  
    38,300     Southeastern Grocers (c)     2,661,850  
    684,600     Southwestern Energy Co. * (a)     2,129,106  
    77,300     SpartanNash Co.     1,459,424  
    97,800     Spok Holdings, Inc.     961,374  
    
Shares
    Description   Value ($)  
          United States — continued  
    14,000     SS&C Technologies Holdings, Inc.     964,460  
    9,400     Standard Motor Products, Inc.     435,126  
    160,700     Steelcase, Inc. – Class A     1,952,505  
    21,400     Stepan Co. (a)     2,485,824  
    3,000     Stewart Information Services Corp. (a)     125,610  
    75,400     Stoneridge, Inc. *     2,025,244  
    32,457     StoneX Group, Inc. * (a) (b)     2,000,000  
    247,600     Summit Hotel Properties, Inc. (REIT) (a)     2,151,644  
    16,400     Sunstone Hotel Investors, Inc. (REIT)     172,200  
    2,400     Super Micro Computer, Inc. *     67,704  
    39,500     Surface Oncology, Inc. *     357,080  
    87,400     Surgalign Holdings, Inc. * (a)     197,524  
    7,600     Surmodics, Inc. *     284,544  
    9,500     Sutro Biopharma, Inc. * (a)     162,450  
    82,200     Sykes Enterprises, Inc. *     3,093,186  
    130,200     Synchrony Financial     3,967,194  
    1,507,100     Syncora Holdings Ltd.     437,059  
    33,900     Systemax, Inc. (a)     1,043,103  
    95,040     Taylor Morrison Home Corp. * (a)     2,402,611  
    467,100     TEGNA, Inc. (a) (b)     6,730,911  
    42     Teladoc Health, Inc. *     8,388  
    137,100     Telephone & Data Systems, Inc.     2,602,158  
    176,920     Tempur Sealy International, Inc. * (a)     4,456,615  
    51,620     Tenet Healthcare Corp. * (a)     1,622,417  
    5,500     Tennant Co.     369,380  
    67,100     Terex Corp. (a)     2,080,100  
    10,900     Territorial Bancorp, Inc.     243,179  
    32,400     Textron, Inc. (a)     1,461,240  
    1,888,723     The Oneida Group (f)     3,324,152  
    3,300     Timberland Bancorp, Inc.     78,639  
    28,300     Towne Bank/Portsmouth VA     615,525  
    57,700     Tredegar Corp.     912,237  
    95,300     TRI Pointe Group, Inc. *     1,665,844  
    61,000     Tribune Publishing Co.     736,880  
    33,600     TriCo Bancshares     1,100,736  
    10,600     Triple-S Management Corp. – Class B * (a)     237,546  
    446,524     TRU TAJ (f)     1,562,834  
    5,869     TRU TAJ Liquidation Unit Trust (c)     88,035  
    16,200     TrueBlue, Inc. *     309,420  
    79,600     TrustCo Bank Corp.     483,172  
    3,000     Trustmark Corp.     74,460  
    42,600     Tyson Foods, Inc. – Class A     2,777,520  
    114,800     UFP Industries, Inc. (b)     6,159,020  
    8,300     United Rentals, Inc. * (a)     1,883,934  
    5,421     United Security Bancshares     38,218  
    30,900     United States Cellular Corp. *     968,715  
    1,100     United Therapeutics Corp. * (a)     145,904  
    85,200     Universal Corp. (a) (b)     3,877,452  
    17,500     Universal Electronics, Inc. *     921,550  
    30,300     Universal Health Services, Inc. – Class B     3,956,574  
    18,700     Urban Edge Properties (REIT)     242,726  
    182,108     US Bancorp (b)     7,868,887  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          United States — continued  
    5,000     USANA Health Sciences, Inc. *     375,900  
    87,800     Valvoline, Inc.     2,000,962  
    3,400     Vanda Pharmaceuticals, Inc. *     41,514  
    129,100     Varian Medical Systems, Inc. * (b)     22,460,818  
    45,957     Vectrus, Inc. *     2,190,770  
    126,300     Vera Bradley, Inc. *     1,071,024  
    32,700     Veritiv Corp. *     607,566  
    148,871     Verso Corp. – Class A     1,609,296  
    81,101     VF Corp. (a)     6,763,823  
    124,800     ViacomCBS, Inc. – Class B (a)     4,402,944  
    87,800     Viatris, Inc. * (a)     1,476,796  
    12,700     Village Super Market, Inc. – Class A     294,132  
    81,500     Virtusa Corp. *     4,081,520  
    19,000     Vista Outdoor, Inc. *     391,970  
    17,300     VMware, Inc. – Class A * (a)     2,420,097  
    186,200     Waddell & Reed Financial, Inc. – Class A (a)     3,064,852  
    68,200     Walgreens Boots Alliance, Inc. (a)     2,592,282  
    67,000     Walker & Dunlop, Inc. (a) (b)     5,360,670  
    40,325     Waterstone Financial, Inc.     708,309  
    9,700     Weis Markets, Inc.     462,011  
    277,453     Wells Fargo & Co. (a) (b)     7,588,340  
    5,770     West BanCorp, Inc.     111,246  
    124,300     Western Union Co. (The) (a)     2,804,208  
    84,700     Western Digital Corp. (a)     3,801,336  
    107,060     Westmoreland Mining Holdings LLC (f)     579,944  
    16,600     Westwood Holdings Group, Inc.     197,872  
    193,200     Willis Towers Watson Plc (b)     40,222,308  
    4,200     Wintrust Financial Corp.     228,858  
    215,500     World Fuel Services Corp. (b)     6,124,510  
    28,000     Worthington Industries, Inc. (a)     1,448,160  
    4,732     WPX Energy, Inc. *     35,537  
    24,230     Wyndham Destinations Corp.     1,019,114  
    404,400     Xenia Hotels & Resorts, Inc. (REIT) (a)     5,697,996  
    29,500     Xerox Holdings Corp. (a)     645,755  
    152,900     Xilinx, Inc. (b)     22,254,595  
    29,600     Xperi Holding Corp. (a)     564,768  
    43,500     Zumiez, Inc. * (a)     1,613,415  
     

 

 

 
    Total United States     1,019,221,992  
     

 

 

 
          Vietnam — 0.0%  
    580,610     Kinh Bac City Development Share Holding Corp *     397,594  
    85,710     PetroVietnam Gas JSC     308,755  
    769,000     PetroVietnam Technical Services Corp     489,229  
    53,480     Pha Lai Thermal Power JSC     55,249  
    188,440     Vinh Hoan Corp     359,648  
    Total Vietnam     1,610,475  
     

 

 

 
   

TOTAL COMMON STOCKS

(COST $4,474,311,831)

    4,464,779,392  
     

 

 

 
    
Shares
    Description   Value ($)  
          PREFERRED STOCKS (g) — 1.5%  
          Brazil — 0.3%  
    450,100     Banco do Estado do Rio Grande do Sul SA – Class B     1,108,993  
    647,451     Bradespar SA     7,021,485  
    176,100     Braskem SA – Class A *     742,871  
    816,000     Cia de Saneamento do Parana     760,040  
    13,500     Cia de Transmissao de Energia Eletrica Paulista     68,541  
    619,900     Cia Paranaense de Energia – Class B     7,899,461  
    93,600     Lojas Americanas SA     400,614  
     

 

 

 
    Total Brazil     18,002,005  
     

 

 

 
          Colombia — 0.0%  
    22,832     Banco Davivienda SA     178,402  
    1,845,309     Grupo Aval Acciones y Valores SA     533,645  
     

 

 

 
    Total Colombia     712,047  
     

 

 

 
          Germany — 0.2%  
    61,062     Bayerische Motoren Werke AG     4,012,098  
    23,067     Draegerwerk AG & Co KGaA (a)     1,807,420  
    13,298     Henkel AG & Co KGaA     1,430,670  
    2,037     Jungheinrich AG     88,718  
    24,407     Schaeffler AG     181,624  
    4,825     Villeroy & Boch AG     76,345  
    5,115     Volkswagen AG     858,593  
     

 

 

 
    Total Germany     8,455,468  
     

 

 

 
          Russia — 0.4%  
    163,829     Bashneft PJSC     2,638,212  
    93,450     Nizhnekamskneftekhim PJSC     96,270  
    40,767,000     Surgutneftegas PJSC     21,180,208  
    191     Transneft PJSC     357,779  
     

 

 

 
    Total Russia     24,272,469  
     

 

 

 
          South Korea — 0.6%  
    6,504     Amorepacific Corp     316,809  
    19,960     Hyundai Motor Co Ltd Prf     1,517,287  
    16,860     Hyundai Motor Co Ltd-2nd Prf     1,321,046  
    48,658     LG Electronics Inc     1,446,644  
    394,823     Samsung Electronics Co Ltd     21,782,976  
    3,543     Samsung Electronics Co Ltd GDR (Registered)     4,804,345  
     

 

 

 
    Total South Korea     31,189,107  
     

 

 

 
          Taiwan — 0.0%  
    97,864     Chailease Holding Co. Ltd. *     341,292  
    216,277     CTBC Financial Holding Co Ltd     487,324  
     

 

 

 
    Total Taiwan     828,616  
     

 

 

 
          United States — 0.0%  
    11,013     Murray Energy Corp. (c)     479,066  
     

 

 

 
   

TOTAL PREFERRED STOCKS

(COST $78,434,877)

    83,938,778  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

Shares /
Par Value†
    Description   Value ($)  
          RIGHTS/WARRANTS — 0.0%      
          Pakistan — 0.0%      
    46,150     Searle Co Ltd, Expires 12/31/20 * (c)     18,530  
     

 

 

 
          Spain — 0.0%  
    2,630,374     Banco Santander SA, Expires 12/03/20 *     328,511  
     

 

 

 
          United Kingdom — 0.0%  
    26,934     AVEVA Group Plc, Expires 12/09/20 *     402,154  
     

 

 

 
          United States — 0.0%  
    730,200     Bristol-Myers Squibb Co., Expires 03/31/21*     861,636  
    222,285     Contra Clementia Pharma CVR * (c)     300,085  
    2,616,810     Media General, Inc. CVR * (c)     130,841  
     

 

 

 
    Total United States     1,292,562  
     

 

 

 
   

TOTAL RIGHTS/WARRANTS

(COST $2,147,081)

    2,041,757  
     

 

 

 
          INVESTMENT FUNDS — 0.8%      
          United States — 0.8%      
    1,546,000     Altaba, Inc. (c)     22,262,400  
    423,470     iShares Core MSCI Emerging Markets ETF     24,823,811  
     

 

 

 
    Total United States     47,086,211  
     

 

 

 
   

TOTAL INVESTMENT FUNDS

(COST $44,609,814)

    47,086,211  
     

 

 

 
          DEBT OBLIGATIONS — 23.0%  
          Brazil — 0.2%  
          Corporate Debt — 0.2%  
    9,170,000     Oi SA, 10.00%, due 07/27/25     9,536,800  
     

 

 

 
          Israel — 0.1%  
          Corporate Debt — 0.1%  
    570,000     Teva Pharmaceutical Finance Co BV,
3.65%, due 11/10/21
    569,822  
    6,996,000     Teva Pharmaceutical Finance Co. LLC,
6.15%, due 02/01/36
    7,345,800  
     

 

 

 
    Total Israel     7,915,622  
     

 

 

 
     

 

 

 
          Jamaica — 0.2%  
          Bank Loans — 0.1%  
    5,496,051     Digicel International Finance Ltd, 2017 Term Loan B, Variable Rate, 3 mo. LIBOR plus 3.25%, 3.51%, due 05/28/24 (c)     4,850,266  
     

 

 

 
         
Par Value†
    Description   Value ($)  
          Jamaica — continued  
          Corporate Debt — 0.1%  
    1,024,878     Digicel Group 0.5 Ltd., 10.00%, due 04/01/24     812,536  
    1,954,000     Digicel International Finance Ltd / Digicel Holdings Bermuda Ltd, Reg. S,
8.75%, due 05/25/24
    1,993,080  
    2,530,000     Digicel International Finance Ltd / Digicel Holdings Bermuda Ltd, 144A,
8.75%, due 05/25/24
    2,580,600  
     

 

 

 
    Total Corporate Debt     5,386,216  
     

 

 

 
    Total Jamaica     10,236,482  
     

 

 

 
          Netherlands — 0.2%  
          Corporate Debt — 0.2%  

EUR

    2,948,400     Evander Gold Mines Ltd, 1.00%, due 04/19/26 (c)     1,406,800  

EUR

    6,405,620     Hema Bondco, 7.50%, due 10/19/21 (c)     7,717,357  

EUR

    1,114,874     Hema BV, 144A, 10.00%, due 04/19/25 (c)     1,383,073  
     

 

 

 
    Total Netherlands     10,507,230  
     

 

 

 
          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     1,485,000  
    3,320,000     Puerto Rico Commonwealth Aqueduct & Sewer Authority, (Senior Lien), Series A, 6.10%, due 07/01/34     3,286,800  
    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     6,272,600  
    1,518,000     Puerto Rico Commonwealth Aqueduct & Sewer Authority, Class B, 6.05%, due 07/01/28     1,502,820  
     

 

 

 
    Total Puerto Rico     13,078,614  
     

 

 

 
          United States — 22.1%  
          Asset-Backed Securities — 0.3%  
    570,000     Alaska Airlines Pass-Through Trust, Reg. S, 4.80%, due 02/15/29     615,658  
    2,288,000     Alaska Airlines Pass-Through Trust – Class A, 144A, 4.80%, due 02/15/29     2,471,271  
    2,420,000     Alaska Airlines Pass-Through Trust – Class B, 144A, 8.00%, due 02/15/27     2,558,863  
    315,144     Atlas Senior Loan Fund XI Ltd., Series 18-11A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.75%, 0.96%, due 07/26/31     315,121  
    184,411     Avery Point IV CLO Ltd., Series 14-1A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.10%, 1.31%, due 04/25/26     184,411  
    44,955     Babson CLO Ltd., Series 14-IA, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.15%, 1.37%, due 07/20/25     44,974  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
          United States — continued  
          Asset-Backed Securities — continued  
    825,824     Bayview Commercial Asset Trust, Series 07-5A, Class A3, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 1.15%, due 10/25/37     823,520  
    149,557     Bayview Commercial Mortgage Pass-Through Trust, Series 06-SP1, Class M3, 144A, Variable Rate, 1 mo. LIBOR + 0.86%, 1.01%, due 04/25/36     149,532  
    385,059     Canyon Capital CLO Ltd., Series 16-1A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.70%, 0.94%, due 07/15/31     385,058  
    7,063,382     Crest G-Star LP, Series 01-1A, Class D, 144A, 9.00%, due 11/28/35 (h)     7  
    1,134,300     Delta Air Lines Pass-Through Trust, Series 19-1, Class AA, 3.20%, due 10/25/25     1,158,207  
    287,868     Galaxy XXVII CLO Ltd., Series 18-27A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 0.82%, due 05/16/31     286,792  
    286,300     JetBlue Pass-Through Trust – Class A, 4.00%, due 11/15/32     304,205  
    1,574,500     JetBlue Pass-Through Trust – Class B, Series 20-1, Class B, 7.75%, due 05/15/30     1,701,091  
    1,032,294     KeyCorp Student Loan Trust, Series 00-B, Class A2, Variable Rate, 3 mo. LIBOR + 0.31%, 0.52%, due 07/25/29     1,022,330  
    311,175     LCM XVIII LP, Series 18A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 0.82%, due 04/20/31     310,310  
    120,609     LCM XXV Ltd., Series 25,A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.95%, 1.17%, due 07/20/30     120,499  
    1,244,572     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-2A, Class 1A3, 144A, Variable Rate, 1 mo. LIBOR + 0.27%, 0.42%, due 06/25/37     1,226,619  
    548,320     Madison Park Funding XIII Ltd., Series 14-13A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.60%, 0.82%, due 04/19/30     546,950  
    400,000     Morgan Stanley Capital I Trust, Series 14-CPT, Class B, 144A, Variable Rate, 3.56%, due 07/13/29     404,099  
    550,000     Morgan Stanley Capital I Trust, Series 14-MP, Class A, 144A, 3.47%, due 08/11/33     557,056  
    169,746     Mountain View CLO LLC, Series 17-2A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.65%, 0.88%, due 01/16/31     169,463  
    262,930     Silvermore CLO Ltd., Series 14-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.17%, 1.39%, due 05/15/26     262,224  
    794,667     Telos CLO Ltd., Series 14-5A, Class X, 144A, Variable Rate, 3 mo. LIBOR + 0.75%, 0.97%, due 04/17/28     794,568  
         
Par Value†
    Description   Value ($)  
          United States — continued  
          Asset-Backed Securities — continued  
    626,269     Telos CLO Ltd., Series 13-4A, Class XR, 144A, Variable Rate, 3 mo. LIBOR + 0.75%, 0.97%, due 01/17/30     622,695  
    353,374     Velocity Commercial Capital Loan Trust, Series 17-1, Class AFL, 144A, Variable Rate, 1 mo. LIBOR + 1.25%, 1.40%, due 05/25/47     352,257  
    124,123     Velocity Commercial Capital Loan Trust, Series 17-1, Class AFX, 144A, Variable Rate, 3.00%, due 05/25/47     124,060  
     

 

 

 
    Total Asset-Backed Securities     17,511,840  
     

 

 

 
          Bank Loans — 0.8%      
    5,208,085     American Consolidated Natural Resources, Inc., 2020 Exit Term Loan, PIK, 1 mo. LIBOR plus 13.00%, 3.00%, due 09/16/25 (c)     4,973,721  
    652,519     Envision Healthcare Corp., 2018 1st Lien Term Loan, Variable Rate, 3.75%, due 10/10/25 (c)     533,434  
    4,058,092     Flexential Intermediate Corp., 2017 1st Lien Term Loan, Variable Rate, 3 mo. LIBOR plus 3.50%, 3.72%, due 08/01/24 (c)     3,601,557  
    4,138,249     Owens & Minor Distribution, Inc., Term Loan B, Variable Rate, 3 mo. LIBOR plus 4.50%, 4.65%, due 04/30/25 (c)     4,082,631  
    6,318,314     Quorum Health Corporation, 2020 Term Loan, 3 mo. LIBOR plus 8.25%, 9.25%, due 04/29/25 (c)     6,033,990  
    13,589,577     SeaWorld Parks & Entertainment, Inc., Term Loan B5, Variable Rate, 3 mo. LIBOR plus 3.00%, 3.75%, due 03/31/24 (c)     13,045,994  
    2,158,700     Serta Simmons Bedding, LLC, 2020 Super Priority Second Out Term Loan, 8.50%, due 08/10/23 (c)     1,942,830  
    521,009     SkillSoft Corp., 2020 DIP Term Loan, 3 mo. LIBOR plus 7.50%, 8.50%, due 12/27/24 (c)     523,614  
    1,953,493     SkillSoft Corp., 2020 Take Back 2nd Out Term Loan, 3 mo. LIBOR plus 7.50%, 8.50%, due 04/27/25(c)     1,933,958  
    2,073,964     Surgery Center Holdings, Inc., 2017 Term Loan B, Variable Rate, 3 mo. LIBOR plus 3.25%, 4.25%, due 09/03/24 (c)     2,029,892  
    2,780,000     VICI Properties 1 LLC, Replacement Term Loan B1, Variable Rate, 1 mo. LIBOR plus 1.75%, 1.90%, due 12/20/24 (c)     2,708,193  
    10,163,768     Westmoreland Coal Co., PIK Term Loan, Variable Rate, 3 mo. LIBOR plus 12.50%, due 03/15/29 (c)     4,065,507  
    2,363,466     WP CPP Holdings LLC, 2018 Term Loan, Variable Rate, 3 mo. LIBOR plus 3.75%, 4.75%, due 04/30/25 (c)     2,186,206  
     

 

 

 
    Total Bank Loans     47,661,527  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
          United States — continued  
          Convertible Debt — 0.2%      
    5,270,000     Guess?, Inc., 2.00%, due 04/15/24     5,059,200  
    2,117,300     Live Nation Entertainment, Inc., 144A, 2.00%, due 02/15/25     2,073,286  
    2,140,000     Twitter, Inc., 0.25%, due 06/15/24     2,410,764  
     

 

 

 
    Total Convertible Debt     9,543,250  
     

 

 

 
          Corporate Debt — 2.7%      
    2,147,000     Ahern Rentals, Inc., 144A, 7.38%, due 05/15/23     1,486,798  
    4,680,000     American Airlines Group, Inc., 144A, 3.75%, due 03/01/25     3,077,100  
    2,565,000     Antero Midstream Partners LP / Antero Midstream Finance Corp., 5.38%, due 09/15/24     2,419,770  
    1,140,000     Antero Midstream Partners LP / Antero Midstream Finance Corp., 144A, 5.75%, due 01/15/28     1,026,000  
    1,445,000     Boeing Co. (The), 5.15%, due 05/01/30     1,696,304  
    2,271,900     Boeing Co. (The), 8.75%, due 09/15/31     3,331,732  
    748,600     Boeing Co. (The), 8.63%, due 11/15/31     1,092,734  
    1,430,000     Boeing Co. (The), 5.71%, due 05/01/40     1,805,116  
    572,000     Boeing Co. (The), 3.63%, due 03/01/48     543,968  
    1,244,000     Boeing Co. (The), 5.81%, due 05/01/50     1,643,429  
    3,270,000     Boeing Co. (The), 5.93%, due 05/01/60     4,442,165  
    2,280,000     Bruce Mansfield, 8.88%, due 08/01/23 (h)     4,560  
    3,600,000     Carnival Corp, 144A, 7.63%, due 03/01/26     3,819,312  
    5,340,000     Cedar Fair LP / Canada’s Wonderland Co. / Magnum Management Corp. / Millennium Op, 144A, 6.50%, due 10/01/28     5,633,700  
    768,000     Cumulus Media New Holdings, Inc., 144A, 6.75%, due 07/01/26     748,800  
    7,150,000     Dave & Buster’s, Inc., 144A, 7.63%, due 11/01/25     7,418,125  
    1,140,000     EnLink Midstream Partners LP, 5.60%, due 04/01/44     843,600  
    2,118,000     EnLink Midstream Partners LP, 5.05%, due 04/01/45     1,554,082  
    290,000     Ferrellgas LP / Ferrellgas Finance Corp., 144A, 10.00%, due 04/15/25     319,000  
    1,740,000     Ford Motor Credit Co. LLC, 5.58%, due 03/18/24     1,868,325  
    1,770,000     Ford Motor Credit Co. LLC, 4.13%, due 08/04/25     1,831,950  
    2,280,000     Ford Motor Credit Co. LLC, 4.39%, due 01/08/26     2,371,200  
    290,000     Ford Motor Credit Co. LLC, 4.27%, due 01/09/27     300,183  
    12,280,000     Ford Motor Credit Co. LLC, 5.11%, due 05/03/29     13,250,120  
    1,140,000     Frontier Communications Corp., 10.50%, due 09/15/22 (h)     560,025  
         
Par Value†
    Description   Value ($)  
          United States — continued  
          Corporate Debt — continued      
    1,791,000     Frontier Communications Corp., 7.13%, due 01/15/23 (h)     823,860  
    1,894,000     Frontier Communications Corp., 11.00%, due 09/15/25 (h)     932,795  
    5,977,000     FS KKR Capital Corp., 4.13%, due 02/01/25     6,119,254  
    11,003,000     FS KKR Capital Corp. II, 144A, 4.25%, due 02/14/25     10,695,599  
    1,160,000     Goldman Sachs Group, Inc. (The), Variable Rate, 5 year CMT + 3.22%, 4.95%, due 12/31/99     1,212,200  
    1,400,000     Gulfport Energy Corp., 6.38%, due 01/15/26 (h)     843,500  
    2,400,000     Hyatt Hotels Corp., 5.75%, due 04/23/30     2,854,787  
    3,300,000     iHeartCommunications, Inc., 144A, 4.75%, due 01/15/28     3,335,046  
    3,134,100     JPMorgan Chase & Co., Variable Rate, SOFR + 2.75%, 4.00%, due 12/31/99     3,131,984  
    1,464,000     Live Nation Entertainment, Inc., 144A, 4.88%, due 11/01/24     1,453,020  
    2,485,000     Live Nation Entertainment, Inc., 144A, 5.63%, due 03/15/26     2,512,956  
    7,613,000     Marriott Ownership Resorts, Inc., 4.75%, due 01/15/28     7,670,097  
    2,420,000     Marriott Ownership Resorts, Inc. / ILG LLC, 6.50%, due 09/15/26     2,541,000  
    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     672,400  
    2,200,000     OneMain Finance Corp., 6.63%, due 01/15/28     2,524,500  
    1,572,000     Outfront Media Capital LLC / Outfront Media Capital Corp., 144A, 4.63%, due 03/15/30     1,556,280  
    1,854,000     Owens & Minor, Inc., 4.38%, due 12/15/24     1,886,445  
    4,780,000     Royal Caribbean Cruises Ltd, 7.50%, due 10/15/27     5,114,600  
    1,200,000     Royal Caribbean Cruises Ltd, 3.70%, due 03/15/28     1,059,094  
    2,967,000     SeaWorld Parks & Entertainment, Inc., 144A, 8.75%, due 05/01/25     3,174,690  
    1,780,000     SEG Holding LLC / SEG Finance Corp., 144A, 5.63%, due 10/15/28     1,864,550  
    2,860,000     Six Flags Entertainment Corp., 144A, 4.88%, due 07/31/24     2,849,246  
    1,710,000     Tenet Healthcare Corp., 4.63%, due 07/15/24     1,739,925  
    1,700,000     Uber Technologies, Inc., 144A, 8.00%, due 11/01/26     1,831,750  
    4,560,000     Uniti Group LP / Uniti Fiber Holdings, Inc. / CSL Capital LLC, 144A, REIT, 7.13%, due 12/15/24     4,457,400  
    6,561,000     Uniti Group LP / Uniti Group Finance, Inc. / CSL Capital LLC, 144A, REIT, 6.00%, due 04/15/23     6,700,421  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
          United States — continued  
          Corporate Debt — continued      
    3,300,000     Uniti Group LP / Uniti Group Finance, Inc. / CSL Capital LLC, REIT, 8.25%, due 10/15/23     3,304,125  
    1,450,000     Western Midstream Operating LP, 5.38%, due 06/01/21     1,460,875  
    2,860,000     Wyndham Destinations, Inc., 6.60%, due 10/01/25     3,210,350  
    2,780,000     Wyndham Destinations, Inc., 144A, 6.63%, due 07/31/26     3,120,550  
    1,287,000     Wyndham Destinations, Inc., 6.00%, due 04/01/27     1,406,048  
    909,000     Wyndham Destinations, Inc., 144A, 4.63%, due 03/01/30     939,960  
     

 

 

 
    Total Corporate Debt     156,087,552  
     

 

 

 
          U.S. Government — 18.1%      
    10,000,000     U.S. Treasury Note, 1.75%, due 07/31/21 (b) (i)     10,109,766  
    15,000,000     U.S. Treasury Note, 1.38%, due 01/31/22     15,217,383  
    29,000,000     U.S. Treasury Note, 1.13%, due 02/28/22     29,367,031  
    210,000,000     U.S. Treasury Note, 1.75%, due 02/28/22     214,265,625  
    100,000,000     U.S. Treasury Note, 1.88%, due 04/30/22     102,460,938  
    100,000,000     U.S. Treasury Note, 1.88%, due 05/31/22     102,605,469  
     Par Value† /
Shares
    Description   Value ($)  
          United States — continued  
          U.S. Government — continued      
    100,000,000     U.S. Treasury Note, 0.13%, due 06/30/22     99,984,375  
    100,000,000     U.S. Treasury Note, 0.13%, due 07/31/22     99,968,750  
    145,000,000     U.S. Treasury Note, 1.63%, due 08/31/22 (b)     148,726,952  
    100,000,000     U.S. Treasury Note, 0.13%, due 09/30/22 (b)     99,972,656  
    100,000,000     U.S. Treasury Note, 0.13%, due 10/31/22 (b)     99,958,503  
     

 

 

 
    Total U.S. Government     1,022,637,448  
     

 

 

 
    Total United States     1,253,441,617  
     

 

 

 
   

TOTAL DEBT OBLIGATIONS

(COST $1,302,954,671)

    1,304,716,365  
     

 

 

 
          MUTUAL FUNDS — 0.4%  
          United States — 0.4%  
          Affiliated Issuers — 0.4%  
    4,044,429     GMO U.S. Treasury Fund (j)     20,383,922  
     

 

 

 
   

TOTAL MUTUAL FUNDS

(COST $20,383,922)

    20,383,922  
     

 

 

 
 

 

PURCHASED OPTIONS — 0.0%

 

Description    Exercise
Price
   Expiration
Date
     Number of
Contracts
            Notional
Amount
     Value
($)

Equity Options – Calls – 0.0%

                

FirstEnergy Corp. (e)

   35.00      04/16/21        800        USD       2,124,800      24,000
                

 

Equity Options – Puts – 0.0%

                

FirstEnergy Corp. (e)

   24.00      04/16/21        3,500        USD       9,296,000      542,500
                

 

  

TOTAL PURCHASED OPTIONS

(COST $420,743)

 

 

   566,500
                

 

 

Shares     Description   Value ($)  
    SHORT-TERM INVESTMENTS — 4.2%

 

          Foreign Government Obligations — 2.1%  

JPY

    2,400,000,000     Japan Treasury Discount Bill, Zero Coupon, due 12/10/20     22,989,142  

JPY

    2,600,000,000     Japan Treasury Discount Bill, Zero Coupon, due 12/14/20     24,905,189  

JPY

    5,500,000,000     Japan Treasury Discount Bill, Zero Coupon, due 02/08/21     52,691,895  

JPY

    1,700,000,000     Japan Treasury Discount Bill, Zero Coupon, due 02/22/21     16,287,086  
     

 

 

 
    Total Foreign Government Obligations     116,873,312  
     

 

 

 
Shares     Description   Value ($)  
          Money Market Funds — 0.5%      
    25,355,216     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (k)     25,355,216  
    186,142     State Street U.S. Treasury Liquidity Fund – Class D Shares, 0.01% (i)     186,142  
     

 

 

 
    Total Money Market Funds     25,541,358  
     

 

 

 
          U.S. Government — 1.6%      
    47,000,000     U.S. Treasury Bill, 0.09%, due 07/15/21 (i) (l)     46,973,814  
    45,900,000     U.S. Treasury Bill, 0.11%, due 09/09/21 (i) (l)     45,862,247  
     

 

 

 
    Total U.S. Government     92,836,061  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $234,881,075)
    235,250,731  
     

 

 

 
    TOTAL INVESTMENTS — 108.8%
(Cost $6,158,144,014)
    6,158,763,656  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          SECURITIES SOLD SHORT — (13.5)%  
          Common Stocks — (13.4)%  
          Australia — (0.3)%  
    (36,394   Afterpay Ltd *     (2,535,767
    (502,774   APA Group     (3,810,689
    (23,081   ASX Ltd     (1,305,313
    (8,610   Cochlear Ltd     (1,395,251
    (21,067   Ramsay Health Care Ltd     (975,676
    (608,198   Sydney Airport     (3,000,994
    (114,098   TPG Telecom Ltd *     (644,142
    (370,353   Transurban Group     (3,821,578
     

 

 

 
    Total Australia     (17,489,410
     

 

 

 
          Austria — (0.0)%      
    (39,678   Verbund AG     (2,788,614
     

 

 

 
          Canada — (0.0)%      
    (191,000   AltaGas Ltd     (2,741,388
    (48,500   Westshore Terminals Investment Corp     (618,434
     

 

 

 
    Total Canada     (3,359,822
     

 

 

 
          China — (0.1)%      
    (552,900   BEST Inc ADR *     (1,619,997
    (49,200   Yum China Holdings Inc     (2,773,896
     

 

 

 
    Total China     (4,393,893
     

 

 

 
          France — (0.4)%      
    (73,663   Edenred     (4,209,482
    (237,712   Getlink SE *     (3,939,412
    (4,131   Hermes International     (4,019,286
    (6,569   Sartorius Stedim Biotech     (2,368,595
    (28,504   Ubisoft Entertainment SA *     (2,702,966
    (122,983   Vivendi SA     (3,686,844
    (35,817   Wendel SA     (4,046,778
     

 

 

 
    Total France     (24,973,363
     

 

 

 
          Germany — (0.6)%      
    (34,628   Delivery Hero SE *     (4,210,323
    (40,138   Puma SE *     (3,977,389
    (34,206   QIAGEN NV *     (1,648,474
    (99,587   RWE AG     (4,119,152
    (8,539   Sartorius AG     (3,893,420
    (35,651   Scout24 AG     (2,716,622
    (6,667   TeamViewer AG *     (317,838
    (1,403,011   Telefonica Deutschland Holding AG     (3,872,691
    (140,394   thyssenkrupp AG *     (936,192
    (122,011   Uniper SE     (4,129,914
    (39,359   Zalando SE *     (3,997,975
     

 

 

 
    Total Germany     (33,819,990
     

 

 

 
    
Shares
    Description   Value ($)  
          Italy — (0.2)%      
    (18,022   Ferrari NV     (3,818,517
    (281,019   FinecoBank Banca Fineco SPA *     (4,436,648
    (38,390   Infrastrutture Wireless Italiane SPA     (494,325
     

 

 

 
    Total Italy     (8,749,490
     

 

 

 
          Japan — (1.3)%      
    (158,300   Acom Co Ltd     (759,921
    (100,900   Asahi Intecc Co Ltd     (3,696,619
    (767,200   ENEOS Holdings Inc     (2,620,603
    (300   Fast Retailing Co Ltd     (245,808
    (30,600   GMO Payment Gateway Inc     (4,291,313
    (46,500   Hitachi Metals Ltd     (680,022
    (123,600   Idemitsu Kosan Co Ltd     (2,562,484
    (273,800   Isetan Mitsukoshi Holdings Ltd     (1,469,546
    (53,800   Japan Airport Terminal Co Ltd     (3,116,267
    (62,000   Japan Exchange Group Inc     (1,533,853
    (688   Japan Real Estate Investment Corp     (3,563,746
    (416,600   JGC Holding Corp     (3,709,038
    (237,500   Keikyu Corp     (4,062,469
    (7,600   Kintetsu Group Holdings Co Ltd     (336,613
    (188,400   Kyushu Electric Power Co Inc     (1,587,418
    (52,000   LINE Corp *     (2,679,560
    (114,500   LIXIL Group Corp     (2,739,954
    (53,000   M3 Inc     (4,877,151
    (78,800   McDonald’s Holdings Co Japan Ltd     (3,822,193
    (49,500   Mercari Inc *     (2,260,530
    (56,400   Mitsubishi Materials Corp     (1,066,324
    (95,300   Mitsubishi Motors Corp *     (171,463
    (68,500   MonotaRO Co Ltd     (4,166,639
    (40,500   Nihon M&A Center Inc     (2,829,883
    (39,100   Nippon Paint Holdings Co Ltd     (5,009,760
    (189,500   Nippon Yusen KK     (4,116,224
    (3,200   Nissin Foods Holdings Co Ltd     (264,109
    (37,700   Odakyu Electric Railway Co Ltd     (1,141,235
    (7,600   ORIENTAL LAND CO LTD     (1,290,898
    (236,100   Sharp Corp     (3,156,720
    (11,600   Yaskawa Electric Corp     (556,554
     

 

 

 
    Total Japan     (74,384,917
     

 

 

 
          Netherlands — (0.4)%      
    (2,083   Adyen NV *     (3,978,850
    (761,925   Altice Europe NV *     (4,008,240
    (139,095   Just Eat Takeaway.com NV *     (14,802,757
     

 

 

 
    Total Netherlands     (22,789,847
     

 

 

 
          Norway — (0.0)%      
    (9,730   Schibsted ASA – B Shares *     (353,868
     

 

 

 
          Peru — (0.0)%      
    (51,700   Southern Copper Corp     (3,069,429
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Russia — (0.0)%      
    (69,362   Magnit PJSC Sponsored GDR (Registered)     (1,042,256
     

 

 

 
          Singapore — (0.1)%      
    (576,700   Singapore Exchange Ltd     (3,802,529
     

 

 

 
          Spain — (0.4)%      
    (2,254,057   Bankia SA     (3,876,913
    (63,193   Cellnex Telecom SA     (4,003,057
    (136,958   Endesa SA     (3,936,524
    (143,157   Ferrovial SA     (3,997,716
    (128,438   Siemens Gamesa Renewable Energy SA     (4,606,282
     

 

 

 
    Total Spain     (20,420,492
     

 

 

 
          Sweden — (0.1)%      
    (35,829   Evolution Gaming Group AB     (3,048,588
    (163,572   Lundin Energy AB     (3,907,817
     

 

 

 
    Total Sweden     (6,956,405
     

 

 

 
          Switzerland — (0.2)%      
    (4   Chocoladefabriken Lindt & Spruengli AG (Registered)     (357,947
    (449   Partners Group Holding AG     (484,103
    (3,400   Straumann Holding AG (Registered)     (3,924,600
    (46,095   Swiss Re AG     (4,211,500
     

 

 

 
    Total Switzerland     (8,978,150
     

 

 

 
          United Kingdom — (1.2)%      
    (54,859   Admiral Group Plc     (2,066,368
    (96,677   Antofagasta Plc     (1,596,428
    (499,568   Auto Trader Group Plc     (3,715,726
    (1,295,838   ConvaTec Group Plc     (3,564,371
    (81,019   Experian Plc     (2,870,493
    (301,696   GVC Holdings Plc *     (4,145,536
    (44,518   Halma Plc     (1,309,920
    (192,090   Hargreaves Lansdown Plc     (3,638,126
    (532,923   Informa Plc *     (3,733,017
    (49,697   Land Securities Group Plc (REIT)     (434,623
    (34,998   London Stock Exchange Group Plc     (3,774,591
    (121,734   Ocado Group Plc *     (3,579,126
    (45,341   Prudential Plc     (697,241
    (855,964   Royal Dutch Shell Plc – Class A Sponsored ADR     (28,965,822
    (7,703   Spirax-Sarco Engineering Plc     (1,134,692
     

 

 

 
    Total United Kingdom     (65,226,080
     

 

 

 
          United States — (8.1)%      
    (57   AbbVie, Inc.     (5,961
    (298,809   Advanced Micro Devices, Inc. *     (27,687,642
    (65,700   AES Corp. (The)     (1,342,908
    (1,300   Align Technology, Inc. *     (625,677
    (109,040   American Airlines Group, Inc.     (1,540,735
    (16,800   American Tower Corp. (REIT)     (3,884,160
    
Shares
    Description   Value ($)  
          United States — continued      
    (188,868   Analog Devices, Inc.     (26,267,761
    (208,581   Aon Plc – Class A     (42,736,161
    (352,900   Apache Corp.     (4,548,881
    (17,200   Arthur J Gallagher & Co.     (1,985,052
    (13,000   Autodesk, Inc. *     (3,642,990
    (17,700   Avalara, Inc.*     (3,039,975
    (15,400   Ball Corp.     (1,478,554
    (13,100   Black Knight, Inc. *     (1,200,222
    (72,500   Blackstone Group , Inc. (The) – Class A     (4,317,375
    (14,500   Burlington Stores, Inc. *     (3,168,830
    (4,300   Catalent, Inc. *     (413,402
    (415,600   Charles Schwab Corp. (The)     (20,272,968
    (25,665   Charter Communications, Inc. – Class A *     (16,733,323
    (78,100   Cheniere Energy, Inc. *     (4,427,489
    (2,900   Chipotle Mexican Grill, Inc. *     (3,739,347
    (30,100   Cognex Corp.     (2,261,714
    (420,548   ConocoPhillips     (16,636,879
    (1,300   CoStar Group, Inc. *     (1,183,741
    (10,500   Coupa Software, Inc. *     (3,453,555
    (22,600   Crowdstrike Holdings, Inc. – Class A *     (3,464,128
    (31,500   Datadog, Inc. – Class A *     (3,115,980
    (2,400   Devon Energy Corp.     (35,472
    (10,300   DexCom, Inc. *     (3,292,704
    (19,700   Digital Realty Trust, Inc. (REIT)     (2,654,575
    (982,398   Discovery, Inc. – Class A *     (26,436,330
    (18,200   DocuSign, Inc. *     (4,147,416
    (690,500   Endo International Plc *     (3,507,740
    (16,400   Equifax, Inc.     (2,737,160
    (5,000   Equinix, Inc. (REIT)     (3,488,950
    (62,400   Equity LifeStyle Properties, Inc. (REIT)     (3,656,016
    (1,900   Erie Indemnity Co. – Class A     (428,659
    (31,900   Exact Sciences Corp. *     (3,861,814
    (6,300   Extra Space Storage, Inc. (REIT)     (710,199
    (11,200   Fastenal Co.     (553,840
    (4   Fidelity National Financial, Inc.     (144
    (207   First Horizon Corp.     (2,531
    (36,400   Guidewire Software, Inc. *     (4,458,272
    (58,333   HEICO Corp. – Class A     (6,460,380
    (6,400   Hologic, Inc. *     (442,432
    (5,800   IDEXX Laboratories, Inc. *     (2,673,684
    (30,200   IHS Markit Ltd.     (3,003,692
    (41,300   Ingersoll Rand, Inc. *     (1,828,351
    (16,100   Insulet Corp. *     (4,149,131
    (19,600   IQVIA Holdings, Inc. *     (3,312,204
    (48,600   Lamb Weston Holdings, Inc.     (3,517,668
    (11,300   Liberty Broadband Corp. – Class A *     (1,771,501
    (131,434   Liberty Broadband Corp. – Class C *     (20,681,140
    (95,800   Liberty Media Corp-Liberty Formula One – Class C *     (4,002,524
    (85,372   Live Nation Entertainment, Inc. *     (5,604,672
    (2,600   Lululemon Athletica, Inc. *     (962,572
    (7,000   MarketAxess Holdings, Inc.     (3,774,260
    (315,697   Marvell Technology Group Ltd.     (14,613,614
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

    
Shares
    Description   Value ($)  
          United States — continued      
    (15,500   MongoDB, Inc. *     (4,453,305
    (10,300   MSCI, Inc.     (4,217,026
    (22,900   NIKE Inc. – Class B     (3,084,630
    (75,100   Nuance Communications, Inc. *     (3,239,063
    (17,700   Okta, Inc. *     (4,337,208
    (8,100   Paycom Software, Inc. *     (3,378,348
    (1,200   Peloton Interactive, Inc. – Class A *     (139,620
    (21,000   Pinterest, Inc. – Class A *     (1,470,420
    (12,000   Public Storage (REIT)     (2,693,520
    (13,300   RingCentral, Inc. – Class A *     (3,950,765
    (4,800   Rockwell Automation, Inc.     (1,226,688
    (13,800   Roku, Inc. *     (4,051,266
    (45,600   Rollins, Inc.     (2,607,408
    (7,900   ServiceNow, Inc. *     (4,222,945
    (1,289,551   Sirius XM Holdings, Inc.     (8,369,186
    (104,000   Slack Technologies Inc. – Class A *     (4,459,520
    (107,200   Snap, Inc. – Class A *     (4,761,824
    (335,000   Southwestern Energy Co. *     (1,041,850
    (18,600   Splunk, Inc. *     (3,797,748
    (15,900   Square, Inc. – Class A *     (3,354,264
    (29,900   Starbucks Corp.     (2,930,798
    (8,400   Sun Communities, Inc. (REIT)     (1,167,600
    (9,300   Sunrun, Inc. *     (595,944
    (182,200   Targa Resources Corp.     (4,281,700
    (15,500   Teladoc Health, Inc. *     (3,080,935
    (10,100   Tesla, Inc. *     (5,732,760
    (13,200   Twilio, Inc. – Class A *     (4,225,188
    (100,100   UDR, Inc. (REIT)     (3,850,847
    (11,300   Vail Resorts, Inc.     (3,116,992
    (3,400   West Pharmaceutical Services, Inc.     (935,544
    (4,100   Weyerhaeuser Co. (REIT)     (119,065
Shares /
Par Value†
    Description   Value ($)  
          United States — continued      
    (137,400   Williams Cos, Inc. (The)     (2,882,653
    (4,800   Workday, Inc. – Class A *     (1,078,991
    (42,400   Wynn Resorts Ltd.     (4,261,200
    (1,400   XPO Logistics, Inc. *     (149,352
    (38,500   Zillow Group, Inc. – Class C *     (4,150,685
    (2,500   Zoetis, Inc.     (400,950
    (7,100   Zoom Video Communications, Inc. – Class A *     (3,396,357
    (20,300   Zscaler, Inc. *     (3,161,726
     

 

 

 
    Total United States     (458,320,948
     

 

 

 
   

TOTAL COMMON STOCKS

(PROCEEDS $685,638,680)

    (760,919,503
     

 

 

 
          RIGHTS/WARRANTS — (0.0)%      
          Spain — (0.0)%      
    (107,649   Ferrovial SA, Expires 11/23/20 *     (30,677
     

 

 

 
    TOTAL RIGHTS/WARRANTS (PROCEEDS $25,204)     (30,677
     

 

 

 
    DEBT OBLIGATIONS — (0.1)%  
          Corporate Debt — (0.1)%      
          United States — (0.1)%      
    (3,015,000   U.S. Concrete, Inc., 6.38%, due 06/01/24     (3,121,859
     

 

 

 
   

TOTAL DEBT OBLIGATIONS

(PROCEEDS $2,766,478)

    (3,121,859
     

 

 

 
    TOTAL SECURITIES SOLD SHORT (PROCEEDS $688,430,362)     (764,072,039
    Other Assets and Liabilities (net) — 4.7%     265,854,524  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $5,660,546,141  
     

 

 

 
 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

  Currency
Purchased
  Net
Unrealized
Appreciation
(Depreciation)
($)
12/17/2020   GS   AUD       2,745,588       USD       2,010,226       (5,504 )
12/17/2020   SSB   AUD       29,111,560       USD       21,231,548       (141,308 )
12/17/2020   UBSA   AUD       4,131,852       USD       3,013,302       (20,183 )
01/19/2021   MSCI   AUD       90,533,900       USD       64,660,544       (1,828,708 )
02/08/2021   BCLY   AUD       159,690,050       USD       115,045,024       (2,249,487 )
02/08/2021   DB   AUD       5,840,000       USD       4,169,077       (120,483 )
02/26/2021   BOA   AUD       11,463,105       USD       8,417,106       (3,511 )
02/26/2021   SSB   AUD       1,848       USD       1,357      
02/02/2021   CITI   BRL       20,007,154       USD       3,666,000       (64,311 )
02/02/2021   JPM   BRL       20,303,726       USD       3,535,571       (250,036 )
12/02/2020   MSCI   CAD       2,826,817       USD       2,151,085       (25,571 )
01/13/2021   BOA   CHF       9,271,935       USD       10,160,000       (60,115 )
01/13/2021   JPM   CHF       23,570,760       USD       25,990,000       8,813
01/13/2021   MSCI   CHF       81,450,494       USD       88,847,007       (932,894 )
12/02/2020   MSCI   CLP       10,825,554,000       USD       14,047,660       (160,968 )
02/03/2021   MSCI   COP       42,798,245,300       USD       11,174,477       (694,785 )

Settlement
Date

 

Counter-
party

 

Currency
Sold

  Currency
Purchased
  Net
Unrealized
Appreciation
(Depreciation)
($)
02/16/2021   CITI   CZK       102,412,570       USD       4,574,032       (84,237 )
01/19/2021   DB   EUR       18,253,200       USD       21,421,371       (384,337 )
01/19/2021   GS   EUR       198,149,210       USD       233,275,987       (3,437,786 )
01/19/2021   MSCI   EUR       77,507,000       USD       91,855,197       (736,514 )
01/19/2021   SSB   EUR       120,642,209       USD       141,447,477       (2,674,584 )
01/27/2021   BOA   EUR       2,110,000       USD       2,498,812       (22,299 )
01/27/2021   DB   EUR       6,500,000       USD       7,708,220       (58,234 )
01/13/2021   DB   GBP       1,900,000       USD       2,479,719       (54,943 )
01/13/2021   MSCI   GBP       11,360,000       USD       15,024,131       (130,476 )
01/19/2021   BCLY   GBP       3,074,403       USD       4,102,758       1,278
01/19/2021   JPM   GBP       41,169,850       USD       53,276,750       (1,646,863 )
01/19/2021   MSCI   GBP       41,169,850       USD       53,223,353       (1,700,261 )
01/19/2021   SSB   GBP       20,214,100       USD       26,738,112       (228,987 )
01/19/2021   SSB   HKD       346,267,200       USD       44,660,749       (16,238 )
01/13/2021   MSCI   HUF       3,367,271,618       USD       11,048,838       (148,120 )
02/16/2021   CITI   IDR       20,607,980,000       USD       1,450,000       4,206
02/16/2021   JPM   IDR       31,567,890,000       USD       2,170,000       (44,708 )
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

  Counter-
party
  Currency
Sold
  Currency
Purchased
  Net
Unrealized
Appreciation
(Depreciation)
($)
01/29/2021   BOA   ILS       7,579,859       USD       2,270,000       (22,383 )
01/22/2021   BCLY   INR       135,635,500       USD       1,820,000       (2,709 )
01/22/2021   JPM   INR       137,722,140       USD       1,830,000       (20,750 )
12/10/2020   CITI   JPY       2,400,000,000       USD       22,661,441       (329,484 )
12/14/2020   SSB   JPY       2,600,000,000       USD       24,519,977       (389,710 )
01/19/2021   BOA   JPY       21,401,038,734       USD       203,729,198       (1,468,926 )
01/19/2021   CITI   JPY       852,540,000       USD       8,205,481       31,129
01/19/2021   DB   JPY       10,390,728,966       USD       98,908,833       (719,888 )
01/19/2021   JPM   JPY       2,995,141,800       USD       28,825,546       107,431
01/19/2021   MSCI   JPY       5,980,247,500       USD       57,564,544       224,543
02/08/2021   JPM   JPY       5,500,000,000       USD       53,266,036       517,701
02/09/2021   BOA   JPY       643,834,899       USD       6,190,000       15,161
02/09/2021   JPM   JPY       683,045,915       USD       6,580,000       29,099
02/22/2021   JPM   JPY       1,700,000,000       USD       16,236,625       (70,072 )
02/24/2021   GS   JPY       4,888,633,333       USD       47,095,889       202,167
02/24/2021   MSCI   JPY       9,777,266,667       USD       94,200,208       412,765
01/20/2021   JPM   NOK       168,678,841       USD       18,315,331       (650,689 )
12/17/2020   UBSA   NZD       23,961,855       USD       16,319,102       (483,471 )
02/05/2021   BCLY   NZD       7,550,000       USD       5,040,893       (253,618 )
02/05/2021   JPM   NZD       37,300,000       USD       25,342,111       (814,880 )
02/05/2021   MSCI   NZD       87,615,000       USD       58,316,982       (3,123,897 )
02/02/2021   MSCI   PEN       13,824,065       USD       3,819,277       (14,777 )
12/03/2020   JPM   PHP       36,318,750       USD       750,000       (5,225 )
12/03/2020   MSCI   PHP       98,241,115       USD       2,029,356       (13,504 )
01/25/2021   JPM   PHP       134,559,865       USD       2,785,919       (4,263 )
02/01/2021   SSB   CAD       31,611,905       USD       24,343,459       6,732
02/16/2021   DB   PLN       9,439,307       USD       2,520,000       3,788
02/26/2021   BOA   RON       3,642,947       USD       884,003       (3,405 )
02/16/2021   BCLY   RUB       342,539,865       USD       4,400,000       (53,943 )
02/16/2021   MSCI   RUB       130,862,256       USD       1,680,000       (21,563 )
02/05/2021   BCLY   SEK       26,377,958       USD       3,040,000       (39,499 )
02/05/2021   DB   SEK       90,465,024       USD       10,400,000       (161,355 )
02/05/2021   JPM   SEK       114,645,473       USD       13,300,000       (84,307 )
01/15/2021   BCLY   SGD       1,739,153       USD       1,300,000       3,207
12/07/2020   BCLY   TWD       60,360,640       USD       2,120,000       5,369
12/07/2020   CITI   TWD       37,698,144       USD       1,320,000       (690 )
12/07/2020   JPM   TWD       23,299,480       USD       820,000       3,743
12/07/2020   MSCI   TWD       65,783,466       USD       2,304,149       (461 )
01/19/2021   DB   USD       10,939,597       AUD       15,425,400       389,014
02/08/2021   BOA   USD       5,648,145       AUD       7,900,000       154,513
02/08/2021   DB   USD       9,991,884       AUD       14,000,000       291,306
02/02/2021   JPM   USD       4,167,724       BRL       23,933,986       294,742
12/02/2020   GS   USD       1,555,554       CAD       2,035,746       11,975
12/02/2020   MSCI   USD       1,982,368       CAD       2,597,323       17,577
12/02/2020   SSB   USD       22,427,746       CAD       29,805,653       522,681
02/01/2021   SSB   USD       24,343,459       CAD       31,611,905       6,732
02/03/2021   JPM   USD       55,362,563       CAD       73,622,520       1,348,075
02/03/2021   MSCI   USD       55,374,847       CAD       73,622,520       1,335,791
02/12/2021   DB   USD       628,956       CAD       818,658       1,662
01/13/2021   DB   USD       10,300,000       CHF       9,317,936       (29,180 )
12/02/2020   MSCI   USD       14,122,981       CLP       10,825,554,000       85,648
02/26/2021   MSCI   USD       7,001,393       CLP       5,412,777,000       116,113
02/03/2021   MSCI   USD       3,370,000       COP       12,227,120,000       20,954
02/16/2021   BOA   USD       1,430,000       CZK       31,827,067       17,664
02/16/2021   CITI   USD       1,010,000       CZK       22,393,619       8,581
02/16/2021   DB   USD       1,590,000       CZK       34,752,010       (9,294 )
01/13/2021   UBSA   USD       82,415,762       EUR       69,684,419       819,662
01/19/2021   BOA   USD       45,279,028       EUR       38,761,389       1,026,252

Settlement
Date

  Counter-
party
  Currency
Sold
  Currency
Purchased
  Net
Unrealized
Appreciation
(Depreciation)
($)
01/19/2021   DB   USD       31,745,336       EUR       26,820,545       295,127
01/19/2021   JPM   USD       1,375,020       EUR       1,160,250       11,043
01/19/2021   MSCI   USD       23,821,006       EUR       20,399,190       548,353
01/27/2021   DB   USD       76,795,607       EUR       64,661,000       463,882
01/27/2021   JPM   USD       41,139,203       EUR       34,590,000       190,281
02/16/2021   BCLY   USD       2,508,345       EUR       2,112,522       16,891
02/16/2021   GS   USD       82,738,460       EUR       70,000,000       937,119
02/16/2021   JPM   USD       471,807       EUR       397,505       3,357
01/13/2021   MSCI   USD       33,864,576       GBP       26,172,700       1,050,651
01/19/2021   DB   USD       20,733,707       GBP       16,047,000       674,174
01/19/2021   MSCI   USD       9,516,316       GBP       7,279,300       194,806
01/19/2021   SSB   USD       6,525,969       GBP       4,962,800       94,772
01/19/2021   SSB   USD       9,728,335       HKD       75,419,900       2,687
01/13/2021   BOA   USD       1,000,000       HUF       303,089,100       7,842
02/16/2021   JPM   USD       5,716,143       IDR       85,044,771,400       250,341
01/29/2021   MSCI   USD       6,509,832       ILS       22,060,518       161,950
01/22/2021   JPM   USD       1,142,500       INR       84,767,769       (3,366 )
12/10/2020   MSCI   USD       27,923,780       JPY       2,922,522,465       72,677
12/10/2020   SSB   USD       39,738,376       JPY       4,209,073,772       582,666
01/19/2021   BOA   USD       13,234,042       JPY       1,391,012,900       103,313
01/19/2021   BONY   USD       6,376,194       JPY       665,589,900       5,636
01/19/2021   CITI   USD       6,453,330       JPY       673,827,200       7,481
02/09/2021   BOA   USD       25,990,000       JPY       2,723,152,109       126,985
02/09/2021   MSCI   USD       69,427,841       JPY       7,196,022,133       (412,818 )
02/10/2021   MSCI   USD       5,164,160       JPY       535,547,692       (27,813 )
02/10/2021   SSB   USD       24,030,637       JPY       2,488,335,316       (165,435 )
02/19/2021   MSCI   USD       10,381,290       KRW       11,484,198,110       (26,040 )
01/21/2021   BOA   USD       2,460,000       MXN       51,459,438       72,858
01/21/2021   CITI   USD       2,030,000       MXN       43,284,716       100,494
01/21/2021   GS   USD       1,400,000       MXN       29,991,343       76,188
01/21/2021   MSCI   USD       3,861,796       MXN       82,311,289       189,605
01/20/2021   JPM   USD       16,450,000       NOK       151,505,129       585,031
12/17/2020   UBSA   USD       1,401,377       NZD       2,029,854       22,001
02/05/2021   DB   USD       4,694,648       NZD       7,000,000       214,171
02/05/2021   JPM   USD       24,851,586       NZD       37,070,000       1,144,116
02/02/2021   MSCI   USD       4,560,000       PEN       16,365,600       (21,060 )
12/03/2020   JPM   USD       2,791,698       PHP       134,559,865       6,386
02/16/2021   MSCI   USD       3,655,865       PLN       13,868,432       41,008
02/16/2021   BCLY   USD       520,721       RUB       40,594,099       7,112
02/05/2021   BCLY   USD       105,082,336       SEK       935,201,265       4,097,902
02/05/2021   JPM   USD       9,850,000       SEK       88,605,420       494,256
01/15/2021   GS   USD       1,650,000       SGD       2,240,434       20,571
01/15/2021   MSCI   USD       1,720,000       SGD       2,330,665       17,852
01/15/2021   BOA   USD       3,680,000       THB       114,914,581       118,082
02/16/2021   BCLY   USD       10,100,000       TRY       80,514,170       (93,523 )
12/07/2020   JPM   USD       6,494,820       TWD       187,141,730       61,369
02/02/2021   MSCI   USD       2,324,504       TWD       65,783,466       (821 )
01/29/2021   DB   USD       2,260,000       ZAR       37,175,554       122,678
01/29/2021   MSCI   USD       6,885,153       ZAR       113,669,052       400,194
                   

 

 

 
                    $ (5,829,288 )
                   

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
116   CAC40 10 Euro     December 2020       7,610,885       23,945  
213   Canadian Government Bond 10 Yr.     March 2021       24,411,273       22,793  
152   Gold 100 OZ (i)     February 2021       27,069,680       (1,961,748
71   Hang Seng Index     December 2020       12,089,128       (94,478
2,330   Mini MSCI Emerging Markets     December 2020       140,067,950       11,122,558  
72   S&P 500 E-Mini     December 2020       13,043,520       205,794  
49   S&P/TSX 60     December 2020       7,712,019       428,763  
126   Silver (i)     March 2021       14,233,590       (1,339,027
607   U.S. Treasury Note 10 Yr. (CBT)     March 2021       83,870,328       142,512  
281   WTI Crude (i)     December 2020       12,740,540       1,183,955  
     

 

 

   

 

 

 
      $ 342,848,913     $ 9,735,067  
     

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
1,047   Corn (i)     March 2021       22,301,100       (320,688
22   DAX Index     December 2020       8,728,208       (214,960
4,137   E-mini Russell 2000 Index     December 2020       376,487,685       (64,562,659
513   Euro Bund     December 2020       107,241,139       52,933  
9,214   Euro STOXX 50     December 2020       384,858,932       (21,964,078
1,167   FTSE 100 Index     December 2020       97,351,184       (3,857,215
296   FTSE/JSE TOP 40     December 2020       10,005,735       (67,102
43   Gilt Long Bond     March 2021       7,692,504       (7,134
204   Hang Seng Index     December 2020       34,734,959       242,990  
33   Japanese Government Bond 10 Yr. (OSE)     December 2020       48,055,460       4,031  
4,317   S&P 500 E-Mini     December 2020       782,067,720       (55,007,239
162   SGX Nifty 50     December 2020       4,188,685       5,403  
203   Soybean (i)     January 2021       11,860,275       (1,039,624
562   SPI 200     December 2020       67,221,862       (6,025,599
2,990   TOPIX Index     December 2020       501,988,436       (39,601,163
     

 

 

   

 

 

 
      $ 2,464,783,884     $ (192,362,104
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

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 – Calls

 

FirstEnergy Corp. (e)

  30.00     04/16/21       (3,500   USD     (9,296,000     (385,000
           

 

 

 

Equity Options – Puts

 

FirstEnergy Corp. (e)

  28.00     04/16/21       (3,500   USD     (9,296,000     (1,120,000
           

 

 

 
  TOTAL WRITTEN OPTIONS    
  (Premiums $1,431,533)       $(1,505,000)  
           

 

 

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

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%       0.97%     N/A     12/20/2024       Quarterly       96,637       (1,577     (98,214

HCA, Inc.

  BCLY   USD     1,140,000       5.00%       0.89%     N/A     12/20/2024       Quarterly       (139,584     (187,467     (47,883

Tenet Healthcare Corp.

  JPM   USD     570,000       5.00%       3.17%     N/A     12/20/2024       Quarterly       14,842       (39,507     (54,349

Tenet Healthcare Corp.

  JPM   USD     1,140,000       5.00%       3.17%     N/A     12/20/2024       Quarterly       142,500       (79,014     (221,514

United Rentals North America, Inc.

  CSI   USD     1,140,000       5.00%       0.86%     N/A     12/20/2024       Quarterly       (96,605     (189,377     (92,772

United Rentals North America, Inc.

  JPM   USD     1,140,000       5.00%       0.86%     N/A     12/20/2024       Quarterly       (51,323     (189,378     (138,055
                 

 

 

   

 

 

   

 

 

 
  $ (33,533   $ (686,320   $ (652,787
 

 

 

   

 

 

   

 

 

 

 

^

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 November 30, 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) ($)
 

3 Month AUD BBSW

   0.15%    AUD      62,864,000        12/16/2022      Quarterly      7,727       63,608       55,881  

3 Month AUD BBSW

   0.10%    AUD      92,610,000        12/16/2022      Quarterly      (4,503     25,767       30,270  

0.07%

   3 Month AUD BBSW    AUD      103,960,000        12/16/2022      Quarterly            13,021       13,021  

(0.67)%

   6 Month CHF LIBOR    CHF      76,920,000        12/16/2022      Semi-Annually      18,648       (59,365     (78,013

6 Month CHF LIBOR

   (0.72)%    CHF      55,220,000        12/16/2022      Semi-Annually      (456     (7,797     (7,341

0.18%

   3 Month NZD Bank Bill Rate    NZD      547,530,000        12/16/2022      Quarterly      106,071       505,611       399,540  

(0.05)%

   3 Month SEK STIBOR    SEK      387,130,000        12/16/2022      Quarterly      3,796       5,730       1,934  

3 Month SEK STIBOR

   (0.04)%    SEK      382,100,000        12/16/2022      Quarterly      991       3,263       2,272  

3 Month SEK STIBOR

   (0.03)%    SEK      431,300,000        12/16/2022      Quarterly            6,200       6,200  

0.55%

   3 Month CAD LIBOR    CAD      56,870,000        12/19/2022      Semi-Annually            2,008       2,008  

0.56%

   3 Month CAD LIBOR    CAD      160,700,000        12/19/2022      Semi-Annually      20,224       (19,169     (39,393

0.55%

   3 Month CAD LIBOR    CAD      41,230,000        12/19/2022      Semi-Annually            (457     (457

6 Month EURIBOR

   (0.48)%    EUR      57,530,000        12/21/2022      Semi-Annually      13,007       54,154       41,147  

6 Month GBP LIBOR

   0.08%    GBP      260,380,000        12/21/2022      Semi-Annually      103,713       (63,159     (166,872

3 Month USD LIBOR

   0.24%    USD      60,360,000        12/21/2022      Quarterly      (24,015     9,671       33,686  

3 Month USD LIBOR

   0.23%    USD      25,310,000        12/21/2022      Quarterly      151       (3,583     (3,734

0.87%

   6 Month AUD BBSW    AUD      13,070,000        12/16/2030      Semi-Annually      (10,268     22,422       32,690  

0.76%

   6 Month AUD BBSW    AUD      19,220,000        12/16/2030      Semi-Annually      10,389       181,833       171,444  

0.77%

   6 Month AUD BBSW    AUD      3,350,000        12/16/2030      Semi-Annually            28,810       28,810  

0.88%

   6 Month AUD BBSW    AUD      9,440,000        12/16/2030      Semi-Annually            12,810       12,810  

6 Month AUD BBSW

   0.79%    AUD      39,480,000        12/16/2030      Semi-Annually      4,097       (305,554     (309,651


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Centrally Cleared Interest Rate Swaps — continued

 

Fund Pays

  

Fund Receives

  

Notional

Amount

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

0.93%

   6 Month AUD BBSW    AUD      12,310,000        12/16/2030      Semi-Annually            (29,642     (29,642

6 Month AUD BBSW

   0.89%    AUD      21,710,000        12/16/2030      Semi-Annually            (1,436     (1,436

3 Month CAD LIBOR

   1.28%    CAD      74,200,000        12/16/2030      Semi-Annually      (20,276     440,090       460,366  

3 Month CAD LIBOR

   1.23%    CAD      21,320,000        12/16/2030      Semi-Annually      22,326       47,171       24,845  

3 Month CAD LIBOR

   1.20%    CAD      189,350,000        12/16/2030      Semi-Annually      (323,545     (3,524     320,021  

3 Month CAD LIBOR

   1.11%    CAD      21,140,000        12/16/2030      Semi-Annually      (6,008     (135,604     (129,596

3 Month CAD LIBOR

   1.09%    CAD      37,730,000        12/16/2030      Semi-Annually            (300,949     (300,949

3 Month CAD LIBOR

   1.09%    CAD      6,690,000        12/16/2030      Semi-Annually            (54,357     (54,357

3 Month CAD LIBOR

   1.11%    CAD      12,870,000        12/16/2030      Semi-Annually            (86,384     (86,384

3 Month CAD LIBOR

   1.13%    CAD      20,650,000        12/16/2030      Semi-Annually            (107,889     (107,889

3 Month CAD LIBOR

   1.15%    CAD      5,200,000        12/16/2030      Semi-Annually            (19,433     (19,433

6 Month CHF LIBOR

   (0.26)%    CHF      13,200,000        12/16/2030      Semi-Annually      (19,153     53,935       73,088  

(0.32)%

   6 Month CHF LIBOR    CHF      8,840,000        12/16/2030      Semi-Annually            28,940       28,940  

6 Month CHF LIBOR

   (0.30)%    CHF      146,140,000        12/16/2030      Semi-Annually      (63,913     (147,486     (83,573

(0.27)%

   6 Month CHF LIBOR    CHF      8,730,000        12/16/2030      Semi-Annually            (25,786     (25,786

(0.29)%

   6 Month CHF LIBOR    CHF      14,790,000        12/16/2030      Semi-Annually            (10,193     (10,193

0.59%

   3 Month NZD Bank Bill Rate    NZD      106,400,000        12/16/2030      Quarterly      (49,127     2,172,934       2,222,061  

0.85%

   3 Month NZD Bank Bill Rate    NZD      10,690,000        12/16/2030      Quarterly            29,495       29,495  

3 Month NZD Bank Bill Rate

   0.55%    NZD      55,750,000        12/16/2030      Quarterly      103,372       (1,260,208     (1,363,580

3 Month NZD Bank Bill Rate

   0.46%    NZD      27,940,000        12/16/2030      Quarterly      (15,439     (820,212     (804,773

3 Month NZD Bank Bill Rate

   0.48%    NZD      48,590,000        12/16/2030      Quarterly      1,211       (1,360,143     (1,361,354

3 Month NZD Bank Bill Rate

   0.74%    NZD      8,620,000        12/16/2030      Quarterly            (86,980     (86,980

3 Month NZD Bank Bill Rate

   0.81%    NZD      12,580,000        12/16/2030      Quarterly      2,108       (69,027     (71,135

3 Month NZD Bank Bill Rate

   0.78%    NZD      120,640,000        12/16/2030      Quarterly      (217,780     (867,638     (649,858

3 Month NZD Bank Bill Rate

   0.82%    NZD      74,630,000        12/16/2030      Quarterly      (6,833     (315,339     (308,506

3 Month NZD Bank Bill Rate

   0.86%    NZD      89,140,000        12/16/2030      Quarterly      (10,759     (154,760     (144,001

3 Month SEK STIBOR

   0.34%    SEK      721,220,000        12/16/2030      Quarterly      (188,184     (86,807     101,377  

0.30%

   3 Month SEK STIBOR    SEK      99,400,000        12/16/2030      Quarterly            55,663       55,663  

0.31%

   3 Month SEK STIBOR    SEK      128,300,000        12/16/2030      Quarterly            54,035       54,035  

3 Month SEK STIBOR

   0.30%    SEK      64,500,000        12/16/2030      Quarterly            (32,015     (32,015

0.37%

   3 Month SEK STIBOR    SEK      121,000,000        12/16/2030      Quarterly      669       (27,432     (28,101

0.39%

   3 Month SEK STIBOR    SEK      102,240,000        12/16/2030      Quarterly            (53,933     (53,933

0.39%

   3 Month SEK STIBOR    SEK      87,600,000        12/16/2030      Quarterly            (45,196     (45,196

(0.18)%

   6 Month EURIBOR    EUR      189,020,000        12/18/2030      Semi-Annually      133,513       (1,660,424     (1,793,937

(0.21)%

   6 Month EURIBOR    EUR      131,550,000        12/18/2030      Semi-Annually      (30,173     (751,928     (721,755

(0.18)%

   6 Month EURIBOR    EUR      11,490,000        12/18/2030      Semi-Annually      (39,512     (107,984     (68,472

0.45%

   6 Month GBP LIBOR    GBP      55,330,000        12/18/2030      Semi-Annually      (22,555     213,501       236,056  

0.36%

   6 Month GBP LIBOR    GBP      7,170,000        12/18/2030      Semi-Annually      (630     113,220       113,850  

6 Month GBP LIBOR

   0.54%    GBP      9,400,000        12/18/2030      Semi-Annually      24,084       69,659       45,575  

6 Month GBP LIBOR

   0.53%    GBP      13,890,000        12/18/2030      Semi-Annually      20,353       90,041       69,688  

0.70%

   3 Month USD LIBOR    USD      37,310,000        12/18/2030      Quarterly      48,881       553,133       504,252  

0.88%

   3 Month USD LIBOR    USD      154,720,000        12/18/2030      Quarterly      (569,787     (449,162     120,625  

3 Month USD LIBOR

   0.82%    USD      13,190,000        12/18/2030      Quarterly      (11,009     (40,517     (29,508

3 Month USD LIBOR

   0.75%    USD      6,930,000        12/18/2030      Quarterly      1,718       (68,803     (70,521

0.86%

   3 Month USD LIBOR    USD      8,420,000        12/18/2030      Quarterly            (5,475     (5,475

0.85%

   3 Month USD LIBOR    USD      8,420,000        12/18/2030      Quarterly            (115     (115

0.85%

   3 Month USD LIBOR    USD      17,290,000        12/18/2030      Quarterly            (1,082     (1,082

0.86%

   3 Month USD LIBOR    USD      17,070,000        12/18/2030      Quarterly            (20,296     (20,296

0.88%

   3 Month USD LIBOR    USD      18,250,000        12/18/2030      Quarterly            (48,512     (48,512
                 

 

 

   

 

 

   

 

 

 
                  $ (986,876   $ (4,859,030   $ (3,872,154
                 

 

 

   

 

 

   

 

 

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 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) ($)
 

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     11,114,886       12/07/2020     Monthly           (36,704     (36,704

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.75%   GS   USD     2,248,032       05/24/2022     Monthly           28,810       28,810  

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.75%   GS   USD     488,114       05/24/2022     Monthly           17,923       17,923  

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.50%   GS   USD     1,404,782       05/24/2022     Monthly           155,617       155,617  

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.75%   GS   USD     243,965       05/24/2022     Monthly           (4,169     (4,169

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.50%   GS   USD     94,227       05/24/2022     Monthly           1,818       1,818  

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.75%   GS   USD     286,294       05/24/2022     Monthly           1,526       1,526  

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 1.00%   MORD   USD     846,889       10/18/2022     Monthly           49,750       49,750  

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     41,578,142       10/18/2022     Monthly           (872,863     (872,863

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.50%   MORD   USD     198,455       10/18/2022     Monthly           16       16  

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     646,167       10/18/2022     Monthly           1,845       1,845  
             

 

 

   

 

 

   

 

 

 
  $     $ (656,431   $ (656,431
 

 

 

   

 

 

   

 

 

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

As of November 30, 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)

Investment valued using significant unobservable inputs.

 

(d)

Securities are traded on separate exchanges for the same entity.

 

(e)

All or a portion of this investment is held in connection with one or more holdings within the Fund.

 

(f)

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.

 

(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 November 30, 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 November 30, 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

CVA - Certificaaten van aandelen (Share Certificates)

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.

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.

BONY - Bank of New York

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

UBSA - UBS AG

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 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

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

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)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          MUTUAL FUNDS — 100.0%      
          Affiliated Issuers — 100.0%      
    614,798     GMO Emerging Markets Fund, Class VI     20,878,526  
    8,105,955     GMO International Equity Fund, Class IV     180,681,741  
    387,104     GMO-Usonian Japan Value Creation Fund, Class VI     8,342,097  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $213,978,447)
    209,902,364  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%      
          Money Market Funds — 0.0%      
    92,137     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (a)     92,137  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $92,137)
    92,137  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $214,070,584)
    209,994,501  
    Other Assets and Liabilities (net) — (0.0%)     (41,300
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $209,953,201  
     

 

 

 

Notes to Schedule of Investments:

 

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 


GMO International Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
          MUTUAL FUNDS — 100.0%  
          Affiliated Issuers — 100.0%  
    9,683,715     GMO Emerging Markets Fund, Class VI     328,858,948  
    19,784,816     GMO International Equity Fund, Class IV     441,003,542  
    1,497,142     GMO-Usonian Japan Value Creation Fund, Class VI     32,263,417  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $785,760,815)
    802,125,907  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
    175,252     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (a)     175,252  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $175,252)
    175,252  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $785,936,067)
    802,301,159  
    Other Assets and Liabilities (net) — (0.0%)     (57,024
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $802,244,135  
     

 

 

 

Notes to Schedule of Investments:

 

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 


GMO SGM Major Markets Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
    DEBT OBLIGATIONS — 96.3%

 

          United States — 96.3%  
          U.S. Government — 96.3%      
    15,000,000     U.S. Treasury Note, 1.38%, due 01/31/21     15,030,684  
    25,000,000     U.S. Treasury Note, 1.25%, due 03/31/21 (a)     25,094,727  
    25,000,000     U.S. Treasury Note, 1.38%, due 04/30/21     25,134,766  
    17,700,000     U.S. Treasury Note, 2.63%, due 05/15/21 (b)     17,904,656  
    47,000,000     U.S. Treasury Note, 1.38%, due 05/31/21     47,301,094  
    43,000,000     U.S. Treasury Note, 1.63%, due 06/30/21     43,386,328  
    20,000,000     U.S. Treasury Note, 1.13%, due 08/31/21     20,150,781  
    30,000,000     U.S. Treasury Note, 1.63%, due 12/31/21     30,489,843  
    30,000,000     U.S. Treasury Note, 1.50%, due 01/31/22     30,482,813  
    14,500,000     U.S. Treasury Note, 0.13%, due 04/30/22     14,500,566  
    58,700,000     U.S. Treasury Note, Variable Rate, USBM + 0.12%, 0.20%, due 01/31/21 (a) (b)     58,712,289  
     

 

 

 
    Total U.S. Government     328,188,547  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $327,344,902)
    328,188,547  
     

 

 

 
          SHORT-TERM INVESTMENTS — 3.0%  
          Money Market Funds — 3.0%  
    9,764,293     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (c)     9,764,293  
    624,931     State Street U.S. Treasury Liquidity Fund – Class D Shares, 0.01% (b)     624,931  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $10,389,224)
    10,389,224  
     

 

 

 
    TOTAL INVESTMENTS — 99.3%
(Cost $337,734,126)
    338,577,771  
    Other Assets and Liabilities (net) — 0.7%     2,294,540  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $340,872,311  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
12/17/2020   GS   AUD     1,928,801       USD       1,412,203       (3,867
12/17/2020   SSB   AUD     19,357,499       USD       14,117,766       (93,943
12/17/2020   UBSA   AUD     2,880,304       USD       2,100,565       (14,070
12/17/2020   UBSA   NZD     15,953,835       USD       10,865,280       (321,895
12/02/2020   GS   USD     1,066,079       CAD       1,395,172       8,207  
12/02/2020   MSCI   USD     1,387,877       CAD       1,818,097       12,062  
12/02/2020   SSB   USD     13,555,013       CAD       18,014,116       315,901  
02/01/2021   SSB   USD     16,346,626       CAD       21,227,385       4,520  
01/13/2021   UBSA   USD     50,716,585       EUR       42,882,037       504,400  
02/16/2021   BCLY   USD     2,110,120       EUR       1,777,138       14,209  
02/16/2021   GS   USD     59,098,900       EUR       50,000,000       669,371  
02/16/2021   JPM   USD     974,498       EUR       821,031       6,934  
12/10/2020   MSCI   USD     18,466,014       JPY       1,932,804,318       49,385  
12/10/2020   SSB   USD     24,773,252       JPY       2,620,595,294       330,878  
02/10/2021   MSCI   USD     3,824,973       JPY       396,667,663       (20,601
02/10/2021   SSB   USD     17,804,412       JPY       1,843,107,114       (127,484
12/17/2020   UBSA   USD     885,534       NZD       1,282,671       13,903  
           

 

 

 
            $ 1,347,910  
           

 

 

 

Futures Contracts

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
79   CAC40 10 Euro   December 2020     5,183,275       15,699  
143   Canadian Government Bond 10 Yr.   March 2021     16,388,789       15,353  
101   Gold 100 OZ (b)   February 2021     17,987,090       (1,298,039
47   Hang Seng Index   December 2020     8,002,662       (62,485
848   Mini MSCI Emerging Markets   December 2020     50,977,520       4,342,481  
180   S&P 500 E-Mini   December 2020     32,608,800       1,336,624  
32   S&P/TSX 60   December 2020     5,036,421       280,008  
83   Silver (b)   March 2021     9,376,095       (883,775
408   U.S. Treasury Note 10 Yr. (CBT)   March 2021     56,374,125       96,144  
189   WTI Crude (b)   December 2020     8,569,260       789,173  
     

 

 

   

 

 

 
      $ 210,504,037     $ 4,631,183  
     

 

 

   

 

 

 
 


GMO SGM Major Markets Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

Futures Contracts — continued

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
704   Corn (b)   March 2021     14,995,200       (213,453
15   DAX Index   December 2020     5,951,051       (158,234
134   E-mini Russell 2000 Index   December 2020     12,194,670       (1,122,082
344   Euro Bund   December 2020     71,912,187       52,768  
198   FTSE/JSE TOP 40   December 2020     6,693,026       (69,596
28   Gilt Long Bond   March 2021     5,009,072       (4,583
22   Japanese Government Bond 10 Yr. (OSE)   December 2020     32,036,973       (1,565
137   Soybean (b)   January 2021     8,004,225       (692,391
68   SPI 200   December 2020     8,133,606       (473,645
15   TOPIX Index   December 2020     2,518,337       (46,080
     

 

 

   

 

 

 
      $ 167,448,347     $ (2,728,861
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

  

Sales - Fund is short the futures contract.

 

 

As of November 30, 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 November 30, 2020.

The rates shown on variable rate notes are the current interest rates at November 30, 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.

Counterparty Abbreviations:

 

BCLY - Barclays Bank PLC

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

UBSA - UBS AG

 

 

Currency Abbreviations:

 

AUD - Australian Dollar

CAD - Canadian Dollar

EUR - Euro

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)

November 30, 2020 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 80.4%

 

    Germany — 1.3%

 

    79,180     GRENKE AG     3,459,546  
     

 

 

 
          Israel — 3.7%      
    38,000     Wix.com Ltd *     9,706,340  
     

 

 

 
          New Zealand — 4.7%      
    1,220,000     Ryman Healthcare Ltd     12,602,858  
     

 

 

 
          United Kingdom — 5.6%      
    1,960,000     boohoo Group Plc *     8,223,485  
    640,000     Burford Capital Ltd     6,521,600  
     

 

 

 
    Total United Kingdom     14,745,085  
     

 

 

 
          United States — 65.1%      
    675,300     At Home Group, Inc. *     12,790,182  
    346,830     Cardlytics, Inc. *     41,161,785  
    177,514     Carvana Co. *     44,415,778  
    95,684     Fastly, Inc. – Class A *     8,111,133  
    207,920     Interactive Brokers Group, Inc. – Class A     10,969,859  
    891,944     Redfin Corp. *     42,715,198  
    48,953     Wayfair, Inc. – Class A *     12,451,685  
     

 

 

 
    Total United States     172,615,620  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $95,168,604)
    213,129,449  
     

 

 

 
          SHORT-TERM INVESTMENTS — 4.8%  
          Money Market Funds — 4.8%  
    12,795,746     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (a)     12,795,746  
    10     State Street U.S. Treasury Liquidity Fund – Class D Shares, 0.01% (b)     10  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $12,795,756)
    12,795,756  
     

 

 

 
    TOTAL INVESTMENTS — 85.2%
(Cost $107,964,360)
    225,925,205  
    Other Assets and Liabilities (net) — 14.8%     39,372,078  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $265,297,283  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 

(b)

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.

 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    COMMON STOCKS — 30.4%

 

          Australia — 0.8%  
    25,635     Accent Group Ltd     40,661  
    17,346     Ansell Ltd     474,454  
    26,425     Asaleo Care Ltd     19,425  
    9,288     AUB Group Ltd     113,844  
    48,596     Australian Pharmaceutical Industries Ltd     42,943  
    46,248     BlueScope Steel Ltd     578,676  
    4,615     Computershare Ltd     48,356  
    25,239     Coronado Global Resources Inc     19,537  
    18,346     CSR Ltd     65,118  
    41,178     Dexus (REIT)     295,027  
    41,990     Fortescue Metals Group Ltd     559,416  
    34,199     G8 Education Ltd     29,467  
    31,008     Genworth Mortgage Insurance Australia Ltd     60,186  
    117,986     GPT Group (The) (REIT)     407,787  
    10,503     GWA Group Ltd     22,242  
    18,720     JB Hi-Fi Ltd     628,804  
    13,003     McMillan Shakespeare Ltd     113,422  
    73,163     Mirvac Group (REIT)     138,232  
    976     Rio Tinto Ltd     72,818  
    34,636     Sandfire Resources NL     111,477  
    201,264     Scentre Group (REIT)     411,704  
    63,977     Stockland (REIT)     212,478  
    6,747     Super Retail Group Ltd     48,819  
     

 

 

 
    Total Australia     4,514,893  
     

 

 

 
          Austria — 0.0%      
    1,110     AT&S Austria Technologie & Systemtechnik AG     26,534  
     

 

 

 
          Belgium — 0.3%      
    16,078     Ageas SA/NV     787,189  
    9,099     AGFA-Gevaert NV *     37,657  
    9,467     bpost SA     114,204  
    5,747     Etablissements Franz Colruyt NV     342,531  
    96     Melexis NV     9,209  
    938     Orange Belgium SA     18,109  
    542     UCB SA     58,001  
     

 

 

 
    Total Belgium     1,366,900  
     

 

 

 
          Canada — 0.9%      
    16,476     Brookfield Asset Management Inc – Class A (a) (b)     667,113  
    3,400     Canadian Apartment Properties (REIT)     133,937  
    700     Canadian Tire Corp Ltd – Class A     89,458  
    3,100     Canadian Western Bank     72,040  
    12,500     Cascades Inc     140,525  
    18,258     Celestica Inc *     137,494  
    24,700     CI Financial Corp     323,704  
    900     Cogeco Inc     55,128  
    37,100     Fortuna Silver Mines Inc *     236,249  
    600     goeasy Ltd     39,261  
    200     iA Financial Corp Inc     8,758  
         
Shares
    Description   Value ($)  
    Canada — continued  
    8,300     IGM Financial Inc     219,531  
    8,600     Imperial Oil Ltd     148,863  
    3,175     Labrador Iron Ore Royalty Corp     64,272  
    3,100     Linamar Corp     142,790  
    6,500     Magna International Inc     398,599  
    13,700     Manulife Financial Corp     233,450  
    6,400     Martinrea International Inc     70,076  
    800     Norbord Inc     29,993  
    12,017     Nutrien Ltd     592,078  
    14,600     Power Corp of Canada     328,716  
    6,500     RioCan Real Estate Investment Trust     87,788  
    1,600     Stella-Jones Inc     54,430  
    19,800     TELUS Corp     381,913  
    2,800     TFI International Inc     142,080  
    9,600     Tourmaline Oil Corp     133,647  
    8,900     Transcontinental Inc – Class A     132,126  
    1,000     West Fraser Timber Co Ltd     55,371  
     

 

 

 
    Total Canada     5,119,390  
     

 

 

 
          China — 0.6%      
    66,000     Agile Group Holdings Ltd     95,294  
    158,500     BAIC Motor Corp Ltd – Class H     59,323  
    418,000     Bank of Communications Co Ltd – Class H     230,990  
    9,500     Beijing Enterprises Holdings Ltd     30,783  
    140,000     China Communications Construction Co Ltd – Class H     72,566  
    124,000     China Communications Services Corp Ltd – Class H     66,082  
    2,756,000     China Huarong Asset Management Co Ltd – Class H     315,946  
    12,500     China Overseas Land & Investment Ltd     30,435  
    47,000     China Railway Construction Corp Ltd – Class H     31,058  
    754,000     China Railway Group Ltd – Class H     372,190  
    354,000     China Zhongwang Holdings Ltd *     77,101  
    59,000     Chongqing Rural Commercial Bank Co Ltd – Class H     25,298  
    382,000     Dongfeng Motor Group Co Ltd – Class H     393,017  
    41,000     Fosun International Ltd     59,164  
    278,400     Guangzhou R&F Properties Co Ltd – Class H     363,287  
    200     JOYY Inc ADR     17,814  
    20,000     Kingboard Holdings Ltd     76,414  
    191,800     Legend Holdings Corp – Class H     261,156  
    15,300     Momo Inc Sponsored ADR     220,014  
    38,000     Seazen Group Ltd *     33,630  
    35,300     Shanghai Pharmaceuticals Holding Co Ltd – Class H     59,693  
    73,500     Shimao Group Holdings Ltd     273,948  
    70,400     Sinopharm Group Co Ltd – Class H     174,258  
    270,000     Skyworth Group Ltd *     73,695  
    435,000     Yuzhou Group Holdings Co Ltd     172,891  
     

 

 

 
    Total China     3,586,047  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    Denmark — 0.2%  
    24,585     Danske Bank A/S *     404,741  
    8,216     Demant A/S *     309,941  
    1,699     Matas A/S *     21,932  
    3,900     Pandora A/S     391,032  
    6,502     Scandinavian Tobacco Group A/S     100,054  
     

 

 

 
    Total Denmark     1,227,700  
     

 

 

 
          Finland — 0.3%      
    8,939     Kesko Oyj – B Shares     234,021  
    13,504     Neste Oyj (b)     902,341  
    55,643     Nokia Oyj *     221,904  
    2,085     UPM-Kymmene Oyj     68,414  
    1,122     Uponor Oyj     22,812  
     

 

 

 
    Total Finland     1,449,492  
     

 

 

 
          France — 1.2%      
    1,608     Akka Technologies *     48,347  
    7,508     ALD SA     96,068  
    10,399     APERAM SA     395,244  
    1,656     Arkema SA     192,852  
    3,979     Atos SE *     363,206  
    801     Capgemini SE     111,440  
    2,325     Eiffage SA *     227,309  
    1,832     Fnac Darty SA *     97,948  
    2,665     IPSOS     85,143  
    864     Kering SA (b)     623,783  
    1,211     LVMH Moet Hennessy Louis Vuitton SE (b)     695,593  
    4,329     Metropole Television SA *     67,875  
    12,844     Peugeot SA *     301,337  
    17,145     Publicis Groupe SA     772,591  
    3,784     Quadient SA     67,644  
    11,291     Renault SA *     448,273  
    2,206     Rexel SA *     29,832  
    6,309     Safran SA * (b)     919,688  
    1,129     Societe BIC SA     66,826  
    14,576     Societe Generale SA *     289,009  
    592     Sopra Steria Group *     89,757  
    1,723     Tarkett SA *     29,809  
    8,216     Television Francaise 1 *     63,498  
    2,191     Unibail-Rodamco-Westfield (REIT)     154,167  
    9,678     Valeo SA     373,376  
    566     Vicat SA     23,051  
     

 

 

 
    Total France     6,633,666  
     

 

 

 
          Germany — 1.1%      
    28,465     Aroundtown SA *     197,008  
    4,614     Aurubis AG     350,672  
    7,461     Bayer AG (Registered)     429,856  
    1,205     Bayerische Motoren Werke AG     104,557  
    3,474     Brenntag AG     266,033  
    4,936     CECONOMY AG *     24,317  
         
Shares
    Description   Value ($)  
    Germany — continued  
    5,269     CropEnergies AG     87,233  
    6,543     Daimler AG (Registered)     438,062  
    28,942     Deutsche Lufthansa AG (Registered) *     333,670  
    42,232     Deutsche Pfandbriefbank AG *     420,673  
    17,356     Dialog Semiconductor Plc *     926,247  
    387     Draegerwerk AG & Co KGaA     27,975  
    1,412     Fresenius SE & Co KGaA     63,129  
    17,177     HeidelbergCement AG (b)     1,215,197  
    2,041     Hornbach Baumarkt AG     93,653  
    2,348     Hornbach Holding AG & Co KGaA     249,977  
    5,491     ProSiebenSat.1 Media SE *     79,619  
    12,464     Software AG     535,232  
    4,351     Takkt AG *     56,002  
    4,699     VERBIO Vereinigte BioEnergie AG     145,825  
     

 

 

 
    Total Germany     6,044,937  
     

 

 

 
          Greece — 0.0%      
    4,080     JUMBO SA     72,347  
     

 

 

 
          Hong Kong — 0.6%      
    19,000     Chow Sang Sang Holdings International Ltd     23,008  
    260,000     CITIC Telecom International Holdings Ltd     86,487  
    56,500     CK Hutchison Holdings Ltd     409,830  
    21,200     Dah Sing Financial Holdings Ltd     62,378  
    1,268,000     First Pacific Co. Ltd.     387,108  
    11,000     Hang Lung Group Ltd     27,723  
    94,000     HKT Trust & HKT Ltd – Class SS     122,859  
    53,300     Hongkong Land Holdings Ltd     216,368  
    78,500     Johnson Electric Holdings Ltd     184,932  
    102,000     K Wah International Holdings Ltd     50,739  
    115,500     Kerry Properties Ltd     295,914  
    32,000     NWS Holdings Ltd     30,598  
    191,000     Pacific Textiles Holdings Ltd     131,609  
    565,000     PCCW Ltd     342,872  
    298,000     Shun Tak Holdings Ltd     94,020  
    60,000     Sun Hung Kai & Co Ltd     26,840  
    17,000     Swire Pacific Ltd – Class A     97,413  
    64,900     VTech Holdings Ltd     499,927  
    20,000     Wharf Holdings Ltd (The)     49,474  
    128,000     Yue Yuen Industrial Holdings Ltd     262,756  
     

 

 

 
    Total Hong Kong     3,402,855  
     

 

 

 
          India — 0.2%      
    7,204     Hindustan Petroleum Corp Ltd     20,248  
    120,629     Indiabulls Housing Finance Ltd     300,871  
    73,906     Indian Oil Corp Ltd     83,596  
    25,695     NTPC Ltd     32,165  
    378,662     Oil & Natural Gas Corp Ltd     396,663  
    257,228     REC Ltd     410,854  
    4,771     Tata Motors Ltd *     11,348  
     

 

 

 
    Total India     1,255,745  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    Indonesia — 0.0%  
    83,200     Indah Kiat Pulp & Paper Corp Tbk PT     51,083  
     

 

 

 
          Ireland — 0.3%      
    52,329     AIB Group Plc *     93,979  
    49,545     Bank of Ireland Group Plc *     155,230  
    2,237     Glanbia Plc     27,511  
    71,600     Hibernia REIT Plc     97,767  
    36,837     Irish Residential Properties REIT Plc     61,322  
    9,692     Origin Enterprises Plc     41,430  
    40,326     Ryanair Holdings Plc * (b)     734,925  
    9,904     Smurfit Kappa Group Plc      421,376  
     

 

 

 
    Total Ireland     1,633,540  
     

 

 

 
          Israel — 0.1%      
    11,916     Isracard Ltd     38,850  
    37,800     Teva Pharmaceutical Industries Ltd Sponsored ADR *     359,478  
     

 

 

 
    Total Israel     398,328  
     

 

 

 
          Italy — 0.8%      
    106,434     A2A SPA     162,833  
    31,325     Anima Holding SPA     137,948  
    3,839     Ascopiave SPA     16,225  
    10,009     Banca Mediolanum SPA *     91,493  
    21,973     Banca Popolare di Sondrio SCPA *     59,417  
    1,474     Biesse SPA *     29,694  
    26,498     Buzzi Unicem SPA     648,420  
    2,513     Buzzi Unicem SpA – RSP     41,136  
    3,639     Cementir Holding NV     29,950  
    17,950     CNH Industrial NV *     195,561  
    20,024     Enav SPA     88,148  
    19,944     EXOR NV     1,395,071  
    68,966     Hera SPA     251,399  
    12,720     Italgas SpA     81,808  
    1,690     La Doria SPA     25,760  
    28,170     Leonardo SPA     204,492  
    348     Sesa SPA *     34,954  
    836,207     Telecom Italia SPA     394,086  
    956,421     Telecom Italia SPA-RSP     489,198  
    44,163     Unipol Gruppo SPA *     212,993  
     

 

 

 
    Total Italy     4,590,586  
     

 

 

 
          Japan — 10.1%      
    1,700     77 Bank Ltd (The)     23,702  
    4,100     ADEKA Corp     64,831  
    49,200     Aeon Mall Co Ltd (b)     786,316  
    4,400     Alps Alpine Co Ltd     55,095  
    94,700     Amada Co Ltd (b)     907,756  
    12,300     Amano Corp     288,491  
    600     Arata Corp     28,473  
    6,400     Arcland Sakamoto Co Ltd     109,579  
         
Shares
    Description   Value ($)  
    Japan — continued  
    23,900     Arcs Co Ltd     499,134  
    39,700     Asahi Kasei Corp     362,955  
    63,300     Asics Corp (b)     1,137,645  
    9,900     Astellas Pharma Inc     141,011  
    2,900     Belluna Co Ltd     26,550  
    23,300     Brother Industries Ltd     445,056  
    2,700     Central Japan Railway Co     343,145  
    53,300     Chugoku Marine Paints Ltd     506,636  
    2,100     Credit Saison Co Ltd     24,007  
    200     Dai Nippon Toryo Co Ltd     1,769  
    15,000     Daihen Corp (b)     649,711  
    400     Daiichi Jitsugyo Co Ltd     15,426  
    900     Daishi Hokuetsu Financial Group Inc     20,281  
    4,900     Daiwa House Industry Co Ltd     149,744  
    15,700     Daiwabo Holdings Co Ltd (b)     979,860  
    32,700     Denka Co Ltd (b)     1,008,946  
    3,100     Dexerials Corp     37,812  
    13,300     Doshisha Co Ltd     255,298  
    800     DTS Corp     16,822  
    700     Earth Corp     41,283  
    23,500     Ebara Corp (b)     749,495  
    3,700     EDION Corp     34,584  
    800     Eizo Corp     27,676  
    10,600     Electric Power Development Co Ltd     142,269  
    1,000     ESPEC Corp     18,544  
    4,800     Financial Products Group Co Ltd     22,764  
    21,000     Fuji Corp     507,376  
    1,600     Fuji Electric Co Ltd     56,651  
    1,900     Fujimi Inc     66,168  
    3,400     Fujitec Co Ltd     69,180  
    1,500     Fujitsu General Ltd     45,380  
    4,600     Geo Holdings Corp     55,943  
    3,600     Glory Ltd     72,191  
    17,500     GungHo Online Entertainment Inc     443,768  
    22,900     Gunma Bank Ltd (The)     70,943  
    8,100     Gunze Ltd     278,354  
    6,900     Gurunavi Inc     34,160  
    1,200     Hanwa Co Ltd     28,607  
    92,100     Haseko Corp (b)     995,357  
    127,800     Hazama Ando Corp (b)     839,513  
    1,000     Heiwado Co Ltd     20,297  
    5,600     Hirogin Holdings Inc     31,039  
    200     Hirose Electric Co Ltd     28,212  
    3,400     Hisamitsu Pharmaceutical Co Inc     199,522  
    11,200     Hitachi Ltd     425,082  
    16,200     Hogy Medical Co Ltd     489,717  
    2,500     Hokuhoku Financial Group Inc     24,686  
    14,900     Honda Motor Co Ltd     414,547  
    17,900     Horiba Ltd (b)     957,630  
    3,300     Inaba Denki Sangyo Co Ltd     75,530  
    33,500     Inabata & Co Ltd     441,045  
    68,800     Inpex Corp     381,074  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    Japan — continued  
    15,000     ITOCHU Corp     395,839  
    3,000     Itochu Enex Co Ltd     28,791  
    4,200     Iyo Bank Ltd (The)     27,717  
    19,100     JAFCO Group Co Ltd (b)     817,353  
    13,600     Japan Post Insurance Co Ltd     226,258  
    40,400     JVCKenwood Corp     54,521  
    102,500     K’s Holdings Corp (b)     1,244,653  
    37,400     Kadokawa Corp (b)     1,183,973  
    10,900     Kajima Corp     143,002  
    100     Kaken Pharmaceutical Co Ltd     3,654  
    19,200     Kanamoto Co Ltd     399,128  
    3,400     Kandenko Co Ltd     25,898  
    900     Kaneka Corp     27,024  
    52,900     Kanematsu Corp     609,166  
    700     Kanematsu Electronics Ltd     27,102  
    26,400     KDDI Corp (b)     751,248  
    139,900     Kenedix Inc (b)     1,007,370  
    25,700     Kinden Corp (b)     410,516  
    1,800     Kissei Pharmaceutical Co Ltd     35,972  
    3,500     Kohnan Shoji Co Ltd     108,187  
    3,600     Kokuyo Co Ltd     46,263  
    5,900     Komeri Co Ltd     160,395  
    85,100     Konica Minolta Inc     271,788  
    35,300     Konoike Transport Co Ltd     349,405  
    1,200     Kumagai Gumi Co Ltd     27,134  
    1,100     Kureha Corp     55,589  
    35,900     Kyowa Exeo Corp (b)     922,007  
    9,200     Kyudenko Corp     262,542  
    32,300     Macromill Inc     201,157  
    1,800     Makino Milling Machine Co Ltd     72,180  
    23,300     Mandom Corp     364,983  
    20,500     Maruichi Steel Tube Ltd     430,968  
    500     Maruzen Showa Unyu Co Ltd     16,014  
    45,600     Maxell Holdings Ltd *     524,012  
    700     Medipal Holdings Corp     13,128  
    4,900     Meidensha Corp     84,909  
    1,400     METAWATER Co Ltd     31,712  
    25,100     Mitsubishi Gas Chemical Co Inc     531,266  
    223,200     Mitsubishi UFJ Financial Group Inc     952,465  
    1,000     Mitsuboshi Belting Ltd     15,592  
    4,300     Mitsui Chemicals Inc     120,213  
    1,200     Mitsui Sugar Co Ltd     20,507  
    11,700     Mixi Inc     319,705  
    1,200     Mizuho Leasing Co Ltd     31,758  
    31,600     MS&AD Insurance Group Holdings Inc (b)     919,286  
    4,200     NEC Networks & System Integration Corp     74,172  
    26,200     NH Foods Ltd (b)     1,115,816  
    3,700     Nichias Corp     86,036  
    1,500     Nichiha Corp     46,770  
    16,700     Nikkon Holdings Co Ltd     324,070  
    5,000     Nippo Corp     130,328  
    300     Nippon Flour Mills Co Ltd     4,670  
         
Shares
    Description   Value ($)  
    Japan — continued  
    7,550     Nippon Light Metal Holdings Co Ltd     128,920  
    2,200     Nippon Soda Co Ltd     57,644  
    900     Nippon Steel Trading Corp     30,485  
    17,100     Nippon Telegraph & Telephone Corp     404,419  
    4,000     Nishimatsu Construction Co Ltd     74,308  
    1,300     Nishio Rent All Co Ltd     25,263  
    1,200     Nisshin Oillio Group Ltd (The)     33,481  
    5,700     Nissin Electric Co Ltd     63,641  
    2,700     Nitto Denko Corp     222,626  
    2,600     Nojima Corp     67,853  
    9,200     Nomura Real Estate Holdings Inc     197,747  
    800     Obara Group Inc     25,913  
    113,500     Obayashi Corp (b)     999,046  
    800     Organo Corp     45,329  
    109,300     ORIX Corp (b)     1,617,790  
    600     Osaka Soda Co Ltd     14,041  
    39,300     Pacific Industrial Co Ltd     402,211  
    200     Paramount Bed Holdings Co Ltd     8,136  
    44,200     Penta-Ocean Construction Co Ltd     328,022  
    1,600     Pressance Corp     26,779  
    2,000     Proto Corp     20,118  
    30,700     Raiznext Corp     327,013  
    16,400     Resona Holdings Inc     57,164  
    1,500     Rinnai Corp     175,008  
    4,900     Rohm Co Ltd     407,444  
    8,400     San-A Co Ltd     324,845  
    2,200     San-Ai Oil Co Ltd     24,304  
    4,100     Sanki Engineering Co Ltd     45,065  
    4,000     Sanwa Holdings Corp     48,587  
    1,500     Sanyo Chemical Industries Ltd     64,367  
    10,400     Secom Co Ltd (b)     1,037,843  
    2,400     Seiko Holdings Corp     30,849  
    4,800     Sekisui Chemical Co Ltd     82,744  
    19,500     Sekisui House Ltd     349,657  
    600     Sekisui Jushi Corp     12,620  
    600     Shimamura Co Ltd     61,821  
    95,100     Shimizu Corp (b)     719,213  
    4,700     Shizuoka Bank Ltd (The)     33,213  
    1,600     Shizuoka Gas Co Ltd     15,169  
    1,500     Sinko Industries Ltd     24,602  
    124,800     SKY Perfect JSAT Holdings Inc     564,623  
    84,000     Sumitomo Chemical Co Ltd     296,761  
    41,900     Sumitomo Dainippon Pharma Co Ltd     528,387  
    60,700     Sumitomo Forestry Co Ltd (b)     1,099,088  
    600     Sumitomo Heavy Industries Ltd     12,971  
    500     Sumitomo Seika Chemicals Co Ltd     19,838  
    500     Suzuken Co Ltd     19,076  
    1,500     Suzuki Motor Corp     80,442  
    23,100     T Hasegawa Co Ltd     444,038  
    9,800     T&D Holdings Inc     114,089  
    400     T-Gaia Corp     7,042  
    27,800     Tachi-S Co Ltd     298,676  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    Japan — continued  
    10,200     Taisei Corp     358,834  
    400     Taisho Pharmaceutical Holdings Co Ltd     25,398  
    38,800     Takara Holdings Inc     443,966  
    7,900     Takara Leben Co Ltd     22,285  
    4,100     Takasago Thermal Engineering Co Ltd     56,290  
    5,300     Takeuchi Manufacturing Co Ltd     124,344  
    26,400     Takuma Co Ltd     452,110  
    2,600     Tamron Co Ltd     39,674  
    900     TDK Corp     126,401  
    26,000     Teijin Ltd     443,356  
    12,100     TIS Inc     240,300  
    33,000     Toho Holdings Co Ltd (b)     601,839  
    2,100     Tokai Rika Co Ltd     32,113  
    139,800     Tokyo Electric Power Co Holdings Inc *     363,868  
    1,300     Tokyo Ohka Kogyo Co Ltd     82,037  
    24,200     Tokyo Seimitsu Co Ltd (b)     1,064,361  
    7,600     Tokyu Construction Co Ltd     34,065  
    3,500     Toppan Forms Co Ltd     33,325  
    88,400     Toppan Printing Co Ltd (b)     1,203,515  
    28,400     Toray Industries Inc     153,251  
    800     Torii Pharmaceutical Co Ltd     24,202  
    44,000     Tosei Corp     487,861  
    64,400     Tosoh Corp (b)     1,008,601  
    11,800     Toyo Suisan Kaisha Ltd     580,393  
    18,100     Toyota Industries Corp (b)     1,304,378  
    2,700     TS Tech Co Ltd     78,973  
    13,300     Tsumura & Co     387,016  
    4,500     Ushio Inc     56,450  
    2,800     YAMABIKO Corp     37,855  
    7,500     Yamaguchi Financial Group Inc     46,511  
    2,800     Yamazen Corp     26,622  
    3,100     Yellow Hat Ltd     47,729  
    62,100     Yokogawa Electric Corp (b)     1,094,111  
    900     Yuasa Trading Co Ltd     28,200  
    21,200     Zenkoku Hosho Co Ltd (b)     967,442  
     

 

 

 
    Total Japan     57,226,857  
     

 

 

 
          Malta — 0.0%      
    125,500     BGP Holdings Plc * (c)      
     

 

 

 
          Mexico — 0.3%      
    80,741     Fomento Economico Mexicano SAB de CV     583,277  
    251,900     Grupo Mexico SAB de CV – Series B     916,102  
     

 

 

 
    Total Mexico     1,499,379  
     

 

 

 
          Netherlands — 0.9%      
    18,981     ABN AMRO Bank NV CVA *     194,314  
    63,184     Aegon NV     233,736  
    10,100     AerCap Holdings NV *     371,276  
    19,636     ASR Nederland NV     727,676  
    414     Corbion NV     21,323  
         
Shares
    Description   Value ($)  
    Netherlands — continued  
    48,057     ING Groep NV *     467,437  
    10,628     Koninklijke Ahold Delhaize NV     303,868  
    15,767     NIBC Holding NV *     139,803  
    1,506     NN Group NV     60,865  
    74,496     PostNL NV *     253,709  
    21,438     Randstad NV * (b)     1,325,905  
    27,296     Signify NV * (b)     1,150,575  
    5,528     TomTom NV *     45,095  
     

 

 

 
    Total Netherlands     5,295,582  
     

 

 

 
          New Zealand — 0.1%      
    90,509     Meridian Energy Ltd     408,293  
     

 

 

 
          Norway — 0.4%      
    6,382     Austevoll Seafood ASA     58,035  
    46,695     BW LPG Ltd     298,192  
    52,704     Elkem ASA     169,456  
    6,662     Entra ASA     132,770  
    25,472     Europris ASA     137,686  
    402     Gjensidige Forsikring ASA     8,753  
    1,208     Kongsberg Gruppen ASA     22,928  
    7,891     Norsk Hydro ASA     31,953  
    15,100     Norwegian Finans Holding ASA *     120,085  
    49,715     Orkla ASA     475,866  
    2,664     SpareBank 1 Nord Norge     21,860  
    4,533     SpareBank 1 SMN     48,526  
    11,251     SpareBank 1 SR-Bank ASA *     112,223  
    18,197     Yara International ASA     737,592  
     

 

 

 
    Total Norway     2,375,925  
     

 

 

 
          Portugal — 0.3%      
    25,316     Altri SGPS SA     136,424  
    1,956,817     Banco Comercial Portugues SA – Class R *     276,961  
    26,397     CTT-Correios de Portugal SA *     76,806  
    41,967     Galp Energia SGPS SA     450,254  
    49,113     Mota-Engil SGPS SA *     85,431  
    40,264     Navigator Co SA (The) *     120,055  
    19,427     NOS SGPS SA     74,288  
    32,571     REN – Redes Energeticas Nacionais SGPS SA     89,319  
    110,844     Sonae SGPS SA     89,277  
     

 

 

 
    Total Portugal     1,398,815  
     

 

 

 
          Russia — 0.2%      
    7,897     LUKOIL PJSC Sponsored ADR     508,370  
    3,784     Novatek PJSC Sponsered GDR (Registered)     582,198  
     

 

 

 
    Total Russia     1,090,568  
     

 

 

 
          Singapore — 0.4%      
    26,100     CapitaLand Integrated Commercial Trust (REIT)     37,603  
    64,000     City Developments Ltd     368,353  
    222,900     ComfortDelGro Corp Ltd     272,688  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    Singapore — continued  
    21,500     Jardine Cycle & Carriage Ltd     309,231  
    9,800     Keppel DC (REIT)     20,512  
    201,300     Mapletree Industrial Trust (REIT)     439,520  
    16,400     Mapletree Logistics Trust (REIT)     23,996  
    166,900     Mapletree North Asia Commercial Trust (REIT)     111,350  
    18,300     Sembcorp Industries Ltd     24,794  
    77,100     SPH (REIT)     47,607  
    68,000     StarHub Ltd     65,319  
    724,100     Yangzijiang Shipbuilding Holdings Ltd     470,534  
    58,400     Yanlord Land Group Ltd     48,213  
     

 

 

 
    Total Singapore     2,239,720  
     

 

 

 
          South Africa — 0.1%      
    34,834     Bidvest Group Ltd (The)     365,179  
    43,825     Old Mutual Ltd     32,918  
     

 

 

 
    Total South Africa     398,097  
     

 

 

 
          South Korea — 0.0%      
    1,115     Yuhan Corp     64,940  
     

 

 

 
          Spain — 0.9%      
    15,146     Acerinox SA     156,954  
    22,221     ACS Actividades de Construccion y Servicios SA *     702,027  
    7,033     Almirall SA     90,461  
    9,838     Amadeus IT Group SA (b)     676,504  
    6,242     Atresmedia Corp de Medios de Comunicacion SA     22,127  
    61,749     Banco Bilbao Vizcaya Argentaria SA     285,933  
    147,596     Banco Santander SA *     428,046  
    4,585     Bankinter SA     22,737  
    11,235     Cia de Distribucion Integral Logista Holdings SA     207,181  
    3,351     Ebro Foods SA     79,304  
    3,369     Enagas SA     82,307  
    4,487     Faes Farma SA     20,127  
    1,007     Grupo Catalana Occidente SA     32,870  
    20,752     Industria de Diseno Textil SA (b)     688,850  
    11,200     Mapfre SA     21,491  
    40,863     Mediaset Espana Comunicacion SA *     184,183  
    8,839     Prosegur Cia de Seguridad SA     24,979  
    50,196     Red Electrica Corp SA (b)     1,026,160  
    123,203     Unicaja Banco SA *     97,072  
    4,040     Viscofan SA     286,323  
     

 

 

 
    Total Spain     5,135,636  
     

 

 

 
          Sweden — 0.1%      
    2,305     AcadeMedia AB     22,664  
    23,235     Betsson AB *     200,453  
    11,030     Inwido AB *     135,213  
    40,746     Nordea Bank Abp *     348,233  
    167     Resurs Holding AB     839  
    363     Skanska AB – B Shares     8,625  
     

 

 

 
    Total Sweden     716,027  
     

 

 

 
         
Shares
    Description   Value ($)  
    Switzerland — 0.1%  
    6,235     Adecco Group AG (Registered)     376,919  
    2,608     ams AG *     66,848  
    2,652     Banque Cantonale Vaudoise (Registered)     273,091  
    316     BKW AG     32,698  
     

 

 

 
    Total Switzerland     749,556  
     

 

 

 
          Taiwan — 0.1%      
    126,000     Hon Hai Precision Industry Co Ltd     363,744  
    36,000     Pou Chen Corp     39,432  
    54,000     Ruentex Development Co Ltd     79,715  
     

 

 

 
    Total Taiwan     482,891  
     

 

 

 
          United Kingdom — 2.9%      
    13,929     Aggreko Plc     103,251  
    3,454     Antofagasta Plc     57,036  
    9,475     Aviva Plc     40,115  
    3,420     Bank of Georgia Group Plc *     51,330  
    97,494     Barratt Developments Plc *     799,293  
    8,576     Bellway Plc     322,145  
    21,703     Berkeley Group Holdings Plc (The)     1,326,567  
    239,237     BT Group Plc     370,317  
    13,167     Bunzl Plc     410,106  
    4,141     Carnival Plc     71,782  
    207,784     Centamin Plc     314,774  
    8,037     CMC Markets Plc     41,645  
    5,448     Coca-Cola HBC AG *     155,620  
    47,156     Compass Group Plc     829,741  
    2,345     Computacenter Plc     69,131  
    2,268     Daily Mail & General Trust Plc – Class A     20,479  
    27,087     Diversified Gas & Oil Plc     38,998  
    12,201     Dixons Carphone Plc     17,886  
    1,271     EMIS Group Plc     16,501  
    15,281     Evraz Plc     76,789  
    11,219     Ferguson Plc     1,255,844  
    70,067     Ferrexpo Plc     196,485  
    26,408     Frasers Group Plc *     147,376  
    4,488     Go-Ahead Group Plc (The) *     48,592  
    17,806     Halfords Group Plc     63,183  
    25,459     Hays Plc *     44,202  
    41,617     IG Group Holdings Plc     443,365  
    13,671     IMI Plc     202,599  
    16,923     Inchcape Plc *     134,720  
    29,866     Indivior Plc *     40,375  
    17,324     Investec Plc     42,654  
    191,501     ITV Plc *     238,313  
    57,099     J Sainsbury Plc     159,384  
    4,574     Johnson Matthey Plc     134,780  
    22,201     Jupiter Fund Management Plc     71,706  
    244,593     Kingfisher Plc *     888,270  
    12,214     Lookers Plc (d)     3,419  
    192,861     M&G Plc     478,533  
    122,201     Micro Focus International Plc *     562,826  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    United Kingdom — continued  
    12,455     Mitchells & Butlers Plc *     35,068  
    9,278     Mondi Plc     203,014  
    16,910     Morgan Advanced Materials Plc     63,371  
    4,384     Morgan Sindall Group Plc     81,303  
    24,289     National Express Group Plc *     71,576  
    7,406     National Grid Plc     82,936  
    4,545     Numis Corp Plc     20,863  
    26,353     OSB Group Plc *     136,507  
    16,757     Paragon Banking Group Plc     89,997  
    49,219     Persimmon Plc     1,727,205  
    33,819     Pets at Home Group Plc     186,517  
    25,696     Phoenix Group Holdings Plc     243,360  
    35,626     Playtech Plc *     181,851  
    15,849     Plus500 Ltd     325,280  
    84,671     Premier Foods Plc *     99,134  
    44,498     QinetiQ Group Plc     173,021  
    9,678     Redde Northgate Plc     31,131  
    7,218     Redrow Plc *     49,646  
    578     RHI Magnesita NV     25,011  
    47,864     Royal Dutch Shell Plc – B Shares     768,719  
    3,584     Smiths Group Plc     68,864  
    23,843     Spirent Communications Plc     81,419  
    7,940     Stock Spirits Group Plc     24,902  
    57,145     Tate & Lyle Plc     482,747  
    128,527     Taylor Wimpey Plc *     261,576  
    5,131     Vistry Group Plc *     56,759  
    70,420     WPP Plc     678,549  
     

 

 

 
    Total United Kingdom     16,540,458  
     

 

 

 
          United States — 6.1%      
    2,200     Alexion Pharmaceuticals, Inc. *     268,642  
    5,600     Alliance Data Systems Corp. (b)     409,584  
    5,500     Ally Financial, Inc. (a)     163,075  
    7,547     American Express Co. (a)     894,999  
    100     Anthem, Inc.     31,152  
    3,700     Arrow Electronics, Inc. *     339,105  
    10,400     AT&T, Inc. (a)     299,000  
    9,300     Athene Holding Ltd. – Class A * (a)     412,455  
    6,400     Bed Bath & Beyond, Inc.     134,144  
    1,100     Biogen, Inc. *     264,187  
    300     Booking Holdings, Inc. * (a)     608,535  
    20,800     BorgWarner, Inc. (b)     808,080  
    4,600     Capital One Financial Corp. (a)     393,944  
    4,500     Capri Holdings Ltd. *     159,210  
    8,600     Carnival Corp. (a)     171,828  
    6,800     Carrier Global Corp.     258,876  
    7,100     CBRE Group, Inc. – Class A *     434,094  
    4,300     Centene Corp. * (a)     265,095  
    37,600     CenturyLink, Inc. (a)     392,920  
    14,273     Charles Schwab Corp. (The) (a)     696,237  
    6,300     Chevron Corp. (a)     549,234  
    1,600     Cigna Corp.     334,624  
    2,500     Cisco Systems, Inc.     107,550  
         
Shares
    Description   Value ($)  
    United States — continued  
    8,300     Citigroup, Inc. (a)     457,081  
    5,400     Citizens Financial Group, Inc. (a)     176,364  
    7,787     Coca-Cola Co. (The)     401,809  
    3,300     Cognizant Technology Solutions Corp. – Class A     257,829  
    7,000     Comcast Corp. – Class A (a)     351,680  
    8,500     Corteva, Inc. (a)     325,720  
    40,800     Coty Inc. – Class A (a)     293,352  
    5,100     CVS Health Corp. (a)     345,729  
    12,100     DISH Network Corp. – Class A * (b)     434,027  
    4,300     DR Horton, Inc.     320,350  
    3,400     Edwards Lifesciences Corp. * (a)     285,226  
    14,157     EOG Resources, Inc. (a)     663,680  
    6,100     Exelon Corp. (a)     250,527  
    3,100     Expedia Group, Inc. (a)     385,919  
    8,300     Exxon Mobil Corp. (a)     316,479  
    400     FleetCor Technologies, Inc. * (a)     106,084  
    47,000     Ford Motor Co. (a)     426,760  
    7,400     Fox Corp. – Class A (a)     213,416  
    8,900     Fox Corp. – Class B *     252,582  
    4,200     GameStop Corp. – Class A *     69,552  
    9,800     General Motors Co.     429,632  
    1,600     Gilead Sciences, Inc.     97,072  
    1,800     Goldman Sachs Group, Inc. (The)     415,044  
    6,100     Hasbro, Inc. (a)     567,483  
    5,701     Hilton Worldwide Holdings, Inc. (b)     590,795  
    2,951     Honeywell International, Inc. (a)     601,768  
    9,000     HP, Inc. (a)     197,370  
    6,500     Intel Corp. (a)     314,275  
    3,300     International Business Machines Corp. (a)     407,616  
    15,300     Invesco Ltd. (a)     248,319  
    1,900     Jazz Pharmaceuticals Plc * (a)     267,349  
    300     Jones Lang LaSalle, Inc. * (a)     39,687  
    29,500     Kinder Morgan, Inc. (b)     424,210  
    11,000     Kohl’s Corp.     354,200  
    4,900     Kraft Heinz Co. (The) (a)     161,406  
    7,700     Kroger Co. (The) (a)     254,100  
    600     Laboratory Corp. of America Holdings *     119,904  
    10,095     Las Vegas Sands Corp. (a)     562,392  
    1,000     Leidos Holdings, Inc.     100,700  
    4,000     Lennar Corp. – Class A (a)     303,440  
    9,200     Lincoln National Corp. (a)     434,424  
    1,900     LKQ Corp. * (a)     66,918  
    18,300     Lyft, Inc. – Class A * (a)     698,511  
    4,300     LyondellBasell Industries NV – Class A (a)     365,930  
    606     Markel Corp. * (a)     590,141  
    7,700     MetLife, Inc.     355,509  
    7,000     Micron Technology, Inc. * (b)     448,630  
    900     Mohawk Industries, Inc. * (a)     113,247  
    8,900     Molson Coors Brewing Co. – Class B (a)     409,400  
    4,300     Morgan Stanley     265,869  
    9,800     Occidental Petroleum Corp. (a)     154,448  
    5,100     Oracle Corp. (a)     294,372  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    United States — continued  
    5,200     Phillips 66 (a)     315,016  
    900     Principal Financial Group, Inc. (a)     44,811  
    5,700     Prudential Financial, Inc. (a)     431,034  
    1,600     PulteGroup, Inc.     69,808  
    19,800     Qurate Retail, Inc. – Series A     207,306  
    15,445     Raytheon Technologies Corp. (a)     1,107,715  
    600     Regeneron Pharmaceuticals, Inc. * (a)     309,618  
    17,966     Sensata Technologies Holding Plc * (b)     877,280  
    1,300     SS&C Technologies Holdings, Inc.     89,557  
    13,500     Synchrony Financial     411,345  
    3,300     Textron, Inc. (a)     148,830  
    4,300     Tyson Foods, Inc. – Class A     280,360  
    900     United Rentals, Inc. * (a)     204,282  
    3,000     Universal Health Services, Inc. – Class B (b)     391,740  
    21,360     US Bancorp (b)     922,966  
    13,047     Verso Corp. – Class A     141,038  
    9,548     VF Corp. (a)     796,303  
    12,500     ViacomCBS, Inc. – Class B (a)     441,000  
    8,800     Viatris, Inc. *     148,016  
    1,800     VMware, Inc. – Class A * (a)     251,802  
    6,800     Walgreens Boots Alliance, Inc. (a)     258,468  
    30,624     Wells Fargo & Co. (b)     837,566  
    11,600     Western Union Co. (The) (a)     261,696  
    8,500     Western Digital Corp. (a)     381,480  
     

 

 

 
    Total United States     34,713,934  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $156,452,082)
    171,710,721  
     

 

 

 
          PREFERRED STOCKS (e) — 0.3%  
          Brazil — 0.2%  
    75,732     Bradespar SA     821,300  
     

 

 

 
          Germany — 0.1%      
    5,677     Bayerische Motoren Werke AG     373,009  
    2,963     Draegerwerk AG & Co KGaA     232,166  
    1,373     Jungheinrich AG     59,799  
     

 

 

 
    Total Germany     664,974  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $1,176,862)
    1,486,274  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%  
          Spain — 0.0%  
    187,382     Banco Santander SA, Expires 12/03/20 *     23,403  
     

 

 

 
          United Kingdom — 0.0%      
    884     AVEVA Group Plc, Expires 12/09/20 *     13,204  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $30,255)
    36,607  
     

 

 

 
         
Shares
    Description   Value ($)  
    MUTUAL FUNDS — 74.4%

 

          United States — 74.4%  
    Affiliated Issuers — 74.4%

 

    772,320     GMO Emerging Country Debt Fund, Class IV     21,200,195  
    4,018,525     GMO Emerging Markets Fund, Class VI     136,469,093  
    3,152,713     GMO International Equity Fund, Class IV     70,273,976  
    1,884,096     GMO Multi-Sector Fixed Income Fund (formerly GMO Core Plus Bond Fund), Class IV     42,166,071  
    609,566     GMO Opportunistic Income Fund, Class VI     15,946,249  
    1,181,492     GMO Quality Fund, Class VI     31,793,944  
    1,998,638     GMO U.S. Equity Fund, Class VI     26,202,141  
    1,931,999     GMO U.S. Small Cap Value Fund, Class VI     39,760,543  
    7,342,678     GMO U.S. Treasury Fund     37,007,096  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $398,884,961)
    420,819,308  
     

 

 

 
          SHORT-TERM INVESTMENTS — 4.6%  
          Money Market Funds — 4.6%  
    26,270,217     State Street Institutional Treasury Money Market Fund – Premier Class, 0.01% (f)     26,270,217  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $26,270,217)
    26,270,217  
     

 

 

 
    TOTAL INVESTMENTS — 109.7%
(Cost $582,814,377)
    620,323,127  
     

 

 

 
    SECURITIES SOLD SHORT — (8.8)%

 

          Common Stocks — (8.8)%  
    Australia — (0.3)%

 

    (3,669   Afterpay Ltd *     (255,639
    (50,686   APA Group     (384,166
    (2,327   ASX Ltd     (131,600
    (867   Cochlear Ltd     (140,499
    (2,124   Ramsay Health Care Ltd     (98,369
    (61,316   Sydney Airport     (302,548
    (13,188   TPG Telecom Ltd *     (74,453
    (37,478   Transurban Group     (386,726
     

 

 

 
    Total Australia     (1,774,000
     

 

 

 
          Austria — (0.0)%      
    (4,000   Verbund AG     (281,124
     

 

 

 
          Canada — (0.0)%      
    (19,300   AltaGas Ltd     (277,009
     

 

 

 
          China — (0.1)%      
    (55,800   BEST Inc ADR *     (163,494
    (4,900   Yum China Holdings Inc     (276,262
     

 

 

 
    Total China     (439,756
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    France — (0.4)%  
    (7,454   Edenred     (425,960
    (24,055   Getlink SE *     (398,644
    (416   Hermes International     (404,750
    (662   Sartorius Stedim Biotech     (238,699
    (2,744   Ubisoft Entertainment SA *     (260,207
    (12,398   Vivendi SA     (371,673
    (3,624   Wendel SA     (409,457
     

 

 

 
    Total France     (2,509,390
     

 

 

 
          Germany — (0.6)%      
    (3,491   Delivery Hero SE *     (424,461
    (126   Deutsche Boerse AG     (20,988
    (4,046   Puma SE *     (400,930
    (3,515   QIAGEN NV *     (169,397
    (10,040   RWE AG     (415,278
    (861   Sartorius AG     (392,579
    (3,608   Scout24 AG     (274,931
    (537   TeamViewer AG *     (25,601
    (148,330   Telefonica Deutschland Holding AG     (409,431
    (14,850   thyssenkrupp AG *     (99,025
    (12,301   Uniper SE     (416,373
    (3,967   Zalando SE *     (402,958
     

 

 

 
    Total Germany     (3,451,952
     

 

 

 
          Italy — (0.2)%      
    (1,817   Ferrari NV     (384,988
    (28,330   FinecoBank Banca Fineco SPA *     (447,266
    (2,794   Infrastrutture Wireless Italiane SPA     (35,977
     

 

 

 
    Total Italy     (868,231
     

 

 

 
          Japan — (1.3)%      
    (15,900   Acom Co Ltd     (76,328
    (10,200   Asahi Intecc Co Ltd     (373,692
    (77,600   ENEOS Holdings Inc     (265,066
    (3,100   GMO Payment Gateway Inc     (434,741
    (5,200   Hitachi Metals Ltd     (76,045
    (12,500   Idemitsu Kosan Co Ltd     (259,151
    (28,100   Isetan Mitsukoshi Holdings Ltd     (150,819
    (5,400   Japan Airport Terminal Co Ltd     (312,785
    (6,200   Japan Exchange Group Inc     (153,385
    (70   Japan Real Estate Investment Corp     (362,590
    (42,100   JGC Holding Corp     (374,821
    (24,000   Keikyu Corp     (410,523
    (800   Kintetsu Group Holdings Co Ltd     (35,433
    (19,000   Kyushu Electric Power Co Inc     (160,090
    (5,300   LINE Corp *     (273,109
    (11,600   LIXIL Group Corp     (277,585
    (5,400   M3 Inc     (496,917
    (7,900   McDonald’s Holdings Co Japan Ltd     (383,189
    (4,900   Mercari Inc *     (223,770
    (5,700   Mitsubishi Materials Corp     (107,767
    (11,300   Mitsubishi Motors Corp *     (20,331
    (7,000   MonotaRO Co Ltd     (425,788
         
Shares
    Description   Value ($)  
    Japan — continued  
    (4,100   Nihon M&A Center Inc     (286,482
    (4,000   Nippon Paint Holdings Co Ltd     (512,507
    (19,200   Nippon Yusen KK     (417,053
    (300   Nissin Foods Holdings Co Ltd     (24,760
    (3,700   Odakyu Electric Railway Co Ltd     (112,005
    (700   ORIENTAL LAND CO LTD     (118,899
    (23,800   Sharp Corp     (318,212
    (1,100   Yaskawa Electric Corp     (52,777
     

 

 

 
    Total Japan     (7,496,620
     

 

 

 
          Netherlands — (0.2)%      
    (210   Adyen NV *     (401,132
    (76,814   Altice Europe NV *     (404,093
    (3,173   Just Eat Takeaway.com NV *     (337,677
     

 

 

 
    Total Netherlands     (1,142,902
     

 

 

 
          Norway — (0.0)%      
    (980   Schibsted ASA – B Shares *     (35,641
     

 

 

 
          Peru — (0.1)%      
    (5,300   Southern Copper Corp     (314,661
     

 

 

 
          Russia — (0.0)%      
    (6,625   Magnit PJSC Sponsored GDR (Registered)     (99,549
     

 

 

 
          Singapore — (0.1)%      
    (58,100   Singapore Exchange Ltd     (383,088
     

 

 

 
          Spain — (0.4)%      
    (228,100   Bankia SA     (392,325
    (6,371   Cellnex Telecom SA     (403,581
    (13,808   Endesa SA     (396,877
    (14,487   Ferrovial SA     (404,555
    (12,948   Siemens Gamesa Renewable Energy SA     (464,365
     

 

 

 
    Total Spain     (2,061,703
     

 

 

 
          Sweden — (0.1)%      
    (3,626   Evolution Gaming Group AB     (308,526
    (16,553   Lundin Energy AB     (395,459
     

 

 

 
    Total Sweden     (703,985
     

 

 

 
          Switzerland — (0.2)%      
    (71   Partners Group Holding AG     (76,551
    (344   Straumann Holding AG (Registered)     (397,077
    (4,665   Swiss Re AG     (426,221
     

 

 

 
    Total Switzerland     (899,849
     

 

 

 
          United Kingdom — (0.6)%      
    (5,530   Admiral Group Plc     (208,298
    (9,746   Antofagasta Plc     (160,936
    (50,363   Auto Trader Group Plc     (374,594
    (130,640   ConvaTec Group Plc     (359,342
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2020 (Unaudited)

 

         
Shares
    Description   Value ($)  
    United Kingdom — continued  
    (8,168   Experian Plc     (289,391
    (30,416   GVC Holdings Plc *     (417,939
    (4,488   Halma Plc     (132,057
    (19,439   Hargreaves Lansdown Plc     (368,169
    (53,929   Informa Plc *     (377,762
    (3,650   Land Securities Group Plc (REIT)     (31,921
    (3,528   London Stock Exchange Group Plc     (380,500
    (12,273   Ocado Group Plc *     (360,841
    (4,572   Prudential Plc     (70,307
    (776   Spirax-Sarco Engineering Plc     (114,309
     

 

 

 
    Total United Kingdom     (3,646,366
     

 

 

 
          United States — (4.2)%      
    (3,600   Advanced Micro Devices, Inc. *     (333,576
    (6,300   AES Corp. (The)     (128,772
    (100   Align Technology, Inc. *     (48,129
    (1,700   American Tower Corp. (REIT)     (393,040
    (35,700   Apache Corp.     (460,173
    (1,900   Arthur J Gallagher & Co.     (219,279
    (1,400   Autodesk, Inc. *     (392,322
    (1,900   Avalara, Inc. *     (326,325
    (1,400   Ball Corp.     (134,414
    (1,200   Black Knight, Inc. *     (109,944
    (7,300   Blackstone Group , Inc. (The) – Class A     (434,715
    (1,400   Burlington Stores, Inc. *     (305,956
    (400   Catalent, Inc. *     (38,456
    (7,900   Cheniere Energy, Inc. *     (447,851
    (300   Chipotle Mexican Grill, Inc. *     (386,829
    (2,900   Cognex Corp.     (217,906
    (200   CoStar Group, Inc. *     (182,114
    (1,100   Coupa Software, Inc. *     (361,801
    (2,300   Crowdstrike Holdings, Inc. – Class A *     (352,544
    (3,200   Datadog, Inc. – Class A *     (316,544
    (1,100   DexCom, Inc. *     (351,648
    (1,900   Digital Realty Trust, Inc. (REIT)     (256,025
    (1,900   DocuSign, Inc. *     (432,972
    (69,600   Endo International Plc *     (353,568
    (1,700   Equifax, Inc.     (283,730
    (500   Equinix, Inc. (REIT)     (348,895
    (6,300   Equity LifeStyle Properties, Inc. (REIT)     (369,117
    (200   Erie Indemnity Co. – Class A     (45,122
    (3,200   Exact Sciences Corp. *     (387,392
    (600   Extra Space Storage, Inc. (REIT)     (67,638
    (1,000   Fastenal Co.     (49,450
    (3,700   Guidewire Software, Inc. *     (453,176
    (600   Hologic, Inc. *     (41,478
    (600   IDEXX Laboratories, Inc. *     (276,588
    (3,100   IHS Markit Ltd.     (308,326
    (4,200   Ingersoll Rand, Inc. *     (185,934
    (1,600   Insulet Corp. *     (412,336
    (2,000   IQVIA Holdings, Inc. *     (337,980
    (4,900   Lamb Weston Holdings, Inc.     (354,662
    (1,100   Liberty Broadband Corp. – Class A *     (172,447
    (1,500   Liberty Broadband Corp. – Class C *     (236,025
         
Shares
    Description   Value ($)  
    United States — continued  
    (9,700   Liberty Media Corp-Liberty Formula One – Class C *     (405,266
    (5,700   Live Nation Entertainment, Inc. *     (374,205
    (200   Lululemon Athletica, Inc. *     (74,044
    (800   MarketAxess Holdings, Inc.     (431,344
    (1,500   MongoDB, Inc. *     (430,965
    (1,000   MSCI, Inc.     (409,420
    (2,200   NIKE Inc. – Class B     (296,340
    (7,600   Nuance Communications, Inc. *     (327,788
    (1,900   Okta, Inc. *     (465,576
    (800   Paycom Software, Inc. *     (333,664
    (1,800   Pinterest, Inc. – Class A *     (126,036
    (1,200   Public Storage (REIT)     (269,352
    (1,400   RingCentral, Inc. – Class A *     (415,870
    (400   Rockwell Automation, Inc.     (102,224
    (1,400   Roku, Inc. *     (410,998
    (4,600   Rollins, Inc.     (263,028
    (800   ServiceNow, Inc. *     (427,640
    (10,500   Slack Technologies Inc. – Class A *     (450,240
    (10,800   Snap, Inc. – Class A *     (479,736
    (33,700   Southwestern Energy Co. *     (104,807
    (1,900   Splunk, Inc. *     (387,942
    (1,500   Square, Inc. – Class A *     (316,440
    (3,000   Starbucks Corp.     (294,060
    (800   Sun Communities, Inc. (REIT)     (111,200
    (800   Sunrun, Inc. *     (51,264
    (18,400   Targa Resources Corp.     (432,400
    (1,600   Teladoc Health, Inc. *     (318,032
    (1,100   Tesla, Inc. *     (624,360
    (1,400   Twilio, Inc. – Class A *     (448,126
    (10,100   UDR, Inc. (REIT)     (388,547
    (1,100   Vail Resorts, Inc.     (303,424
    (400   West Pharmaceutical Services, Inc.     (110,064
    (13,900   Williams Cos, Inc. (The)     (291,622
    (300   Workday, Inc. – Class A *     (67,437
    (4,300   Wynn Resorts Ltd.     (432,150
    (3,900   Zillow Group, Inc. – Class C *     (420,459
    (700   Zoom Video Communications, Inc.– Class A *     (334,852
    (1,900   Zscaler, Inc. *     (295,925
     

 

 

 
    Total United States     (23,542,046
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $46,441,981)
    (49,927,872
     

 

 

 
          RIGHTS/WARRANTS — (0.0)%      
          Spain — (0.0)%      
    (10,282   Ferrovial SA, Expires 11/23/20 *     (2,930
     

 

 

 
    TOTAL RIGHTS/WARRANTS (PROCEEDS $2,407)     (2,930
     

 

 

 
    TOTAL SECURITIES SOLD SHORT (PROCEEDS $46,444,388)     (49,930,802
    Other Assets and Liabilities (net) — (0.9%)     (5,046,665
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $565,345,660  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

A summary of outstanding financial instruments at November 30, 2020 is as follows:

 

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/19/2021   BOA   JPY     1,484,774,767       USD       14,144,857       (91,508
01/19/2021   DB   JPY     810,408,933       USD       7,712,067       (58,322
02/24/2021   GS   JPY     1,904,385,700       USD       18,346,383       78,755  
01/19/2021   BOA   USD     3,782,608       JPY       396,794,800       21,953  
01/19/2021   CITI   USD     852,937       JPY       89,059,800       989  
           

 

 

 
            $ (48,133
           

 

 

 
 

 

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.

 

Futures Contracts

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
214   TOPIX Index   December 2020   $ 35,928,269     $ (2,921,080
     

 

 

   

 

 

 

 

+

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) ($)
 

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.75%   GS   USD     226,674       05/24/2022     Monthly           2,772       2,772  

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.75%   GS   USD     49,208       05/24/2022     Monthly           1,807       1,807  

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.50%   GS   USD     128,879       05/24/2022     Monthly           14,277       14,277  

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.75%   GS   USD     36,070       05/24/2022     Monthly           (616     (616

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.50%   GS   USD     10,595       05/24/2022     Monthly           204       204  

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.75%   GS   USD     19,486       05/24/2022     Monthly           104       104  

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 1.00%   MORD   USD     80,766       10/18/2022     Monthly           4,374       4,374  

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     4,184,111       10/18/2022     Monthly           (87,834     (87,834

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.50%   MORD   USD     18,979       10/18/2022     Monthly           2       2  

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     74,150       10/18/2022     Monthly           (94     (94
             

 

 

   

 

 

   

 

 

 
  $     $ (65,004   $ (65,004
 

 

 

   

 

 

   

 

 

 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2020 (Unaudited)

 

 

As of November 30, 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)

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)

Investment valued using significant unobservable inputs.

 

(e)

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

 

(f)

The rate disclosed is the 7 day net yield as of November 30, 2020.

 

(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.

Portfolio Abbreviations:

 

ADR - American Depositary Receipt

CVA - Certificaaten van aandelen (Share Certificates)

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

REIT - Real Estate Investment Trust

 

 

Counterparty Abbreviations:

 

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

MORD - Morgan Stanley Capital Services LLC

 

 

Currency Abbreviations:

JPY - Japanese Yen

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 November 30, 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 November 30, 2020:

 

         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Australia

  $     $ 3,997,952     $     $ 3,997,952  

Belgium

          160,542             160,542  

Canada

    772,295                   772,295  

China

    123,668       1,492,985             1,616,653  

Denmark

          457,591             457,591  

Finland

          104,333             104,333  

France

          846,735             846,735  

Germany

          495,800             495,800  

Hong Kong

          678,890             678,890  

Israel

    161,670                   161,670  

Italy

          479,963             479,963  

Japan

          5,640,291             5,640,291  

Netherlands

    132,336       595,503             727,839  

New Zealand

          147,413             147,413  

Singapore

          28,982             28,982  

South Africa

          191,063             191,063  

Spain

          281,448             281,448  

Sweden

          156,827             156,827  

Switzerland

          266,408             266,408  

United Kingdom

    10,997,305       2,538,119             13,535,424  

United States

    117,655,311                   117,655,311  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    129,842,585       18,560,845             148,403,430  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          167,417             167,417  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          167,417             167,417  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Spain

    10,540                   10,540  

United States

    343,734                   343,734  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    354,274                   354,274  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

                8,454,240       8,454,240  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

                8,454,240       8,454,240  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    190,994,154       56,026,937             247,021,091  

United States Virgin Islands

          3,919,552             3,919,552  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    190,994,154       59,946,489             250,940,643  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    36,254,125                   36,254,125  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    36,254,125                   36,254,125  
   

 

 

   

 

 

   

 

 

   

 

 

 

Purchased Options

    212,440       154,187             366,627  

Short-Term Investments

    699,258       154,242             853,500  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    358,356,836       78,983,180       8,454,240       445,794,256  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          6,271,948             6,271,948  

Futures Contracts

         

Equity Risk

    1,859,780       6,712             1,866,492  

Interest Rate Risk

    74,221                   74,221  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund (continued)                        
Asset Valuation Inputs (continued)                        

Swap Contracts

         

Credit Risk

  $     $ 634,688     $     $ 634,688  

Equity Risk

          12,196             12,196  

Interest Rate Risk

          2,002,476             2,002,476  

Physical Commodity Contract Risk

          527,556             527,556  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 360,290,837     $ 88,438,756     $ 8,454,240     $ 457,183,833  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

 

Common Stocks

         

Australia

  $     $ (669,258   $     $ (669,258

Austria

          (121,797           (121,797

Canada

    (119,128                 (119,128

China

    (189,304                 (189,304

France

          (1,010,984           (1,010,984

Germany

          (1,355,767           (1,355,767

Italy

          (330,257           (330,257

Japan

          (2,993,871           (2,993,871

Netherlands

          (5,067,106           (5,067,106

Norway

          (15,566           (15,566

Peru

    (136,551                 (136,551

Singapore

          (166,159           (166,159

Spain

          (811,741           (811,741

Sweden

          (244,423           (244,423

Switzerland

          (306,178           (306,178

United Kingdom

    (10,896,378     (1,515,533           (12,411,911

United States

    (93,756,157                 (93,756,157
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (105,097,518     (14,608,640           (119,706,158
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Spain

    (1,960                 (1,960
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    (1,960                 (1,960
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (4,508,531           (4,508,531

Futures Contracts

         

Equity Risk

    (1,074,845     (333,665           (1,408,510

Interest Rate Risk

    (2,404                 (2,404

Written Options

         

Credit Risk

          (59,427           (59,427

Equity Risk

    (732,480     (17,874           (750,354

Swap Contracts

         

Credit Risk

          (621,275           (621,275

Equity Risk

          (32,829           (32,829

Interest Rate Risk

          (3,922,121           (3,922,121
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (106,909,207   $ (24,104,362   $     $ (131,013,569
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Benchmark-Free Allocation Fund

 

Asset Valuation Inputs

 

Mutual Funds

  $ 6,654,086,010     $     $     $ 6,654,086,010  

Short-Term Investments

    3,796,402                   3,796,402  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    6,657,882,412                   6,657,882,412  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 6,657,882,412     $     $     $ 6,657,882,412  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Benchmark-Free Fund  
Asset Valuation Inputs  

Common Stocks

         

Argentina

  $ 1,036,764     $     $     $ 1,036,764  

Australia

          20,821,966             20,821,966  

Austria

          115,982             115,982  

Belgium

          5,627,791             5,627,791  

Brazil

          16,257,352             16,257,352  

Canada

    24,450,615                   24,450,615  

Chile

    19,602       217,573             237,175  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

China

  $ 33,747,917     $ 228,670,258     $ 11,056     $ 262,429,231  

Cyprus

    240,240                   240,240  

Czech Republic

          101,665             101,665  

Denmark

          4,621,894             4,621,894  

Egypt

          12,077             12,077  

Finland

          4,263,915             4,263,915  

France

    681,861       30,873,543             31,555,404  

Germany

          24,755,111             24,755,111  

Greece

          387,179             387,179  

Hong Kong

          16,183,401             16,183,401  

Hungary

          1,191,457             1,191,457  

India

    4,200,921       33,969,101             38,170,022  

Indonesia

          8,047,623             8,047,623  

Ireland

    761,450       6,556,761             7,318,211  

Israel

    1,368,489       303,078             1,671,567  

Italy

          18,921,619             18,921,619  

Japan

          186,840,820             186,840,820  

Kuwait

          1,941,095             1,941,095  

Malaysia

          1,450,736             1,450,736  

Mexico

    23,513,233                   23,513,233  

Netherlands

    1,433,640       23,930,633             25,364,273  

New Zealand

          1,590,670             1,590,670  

Norway

          10,111,811             10,111,811  

Pakistan

          841,905             841,905  

Philippines

          990,974             990,974  

Poland

          7,902,952             7,902,952  

Portugal

          9,725,168             9,725,168  

Qatar

          1,012,931             1,012,931  

Russia

    1,193,177       65,059,769             66,252,946  

Saudi Arabia

          167,365             167,365  

Singapore

          14,283,628             14,283,628  

South Africa

    718,716       35,478,315             36,197,031  

South Korea

    2,337,771       55,006,742             57,344,513  

Spain

          24,450,953             24,450,953  

Sweden

          6,674,110             6,674,110  

Switzerland

          9,798,614             9,798,614  

Taiwan

    2,297,919       93,822,391             96,120,310  

Thailand

          3,146,784             3,146,784  

Turkey

          17,503,478             17,503,478  

United Arab Emirates

          3,025,449             3,025,449  

United Kingdom

    2,299,637       70,248,992       14,550       72,563,179  

United States

    256,280,909                   256,280,909  

Vietnam

          228,041             228,041  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    356,582,861       1,067,133,672       25,606       1,423,742,139  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          6,349,873             6,349,873  

Chile

    47,070                   47,070  

Colombia

    145,878                   145,878  

Germany

          3,234,389             3,234,389  

Russia

          6,096,702             6,096,702  

South Korea

          10,494,416             10,494,416  

Taiwan

          93,498             93,498  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    192,948       26,268,878             26,461,826  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Pakistan

                2,490       2,490  

Spain

    124,583                   124,583  

United Kingdom

    153,446                   153,446  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    278,029             2,490       280,519  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund (continued)  
Asset Valuation Inputs (continued)  

Investment Funds

         

United States

  $ 5,319,999     $     $     $ 5,319,999  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    5,319,999                   5,319,999  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    351,484,753       2,979,558             354,464,311  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    351,484,753       2,979,558             354,464,311  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    478,110,383                   478,110,383  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    478,110,383                   478,110,383  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    22,813,777                   22,813,777  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,214,782,750       1,096,382,108       28,096       2,311,192,954  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          3,782,353             3,782,353  

Futures Contracts

         

Equity Risk

    456,630       96,665             553,295  

Swap Contracts

         

Equity Risk

          98,631             98,631  

Interest Rate Risk

          838,347             838,347  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,215,239,380     $ 1,101,198,104     $ 28,096     $ 2,316,465,580  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

 

Common Stocks

         

Australia

  $     $ (6,730,771   $     $ (6,730,771

Austria

          (1,068,695           (1,068,695

Canada

    (1,052,061                 (1,052,061

China

    (1,680,811                 (1,680,811

France

          (9,585,899           (9,585,899

Germany

          (13,046,718           (13,046,718

Italy

          (3,353,565           (3,353,565

Japan

          (28,539,652           (28,539,652

Netherlands

          (4,343,667           (4,343,667

Norway

          (135,619           (135,619

Peru

    (1,175,526                 (1,175,526

Russia

          (404,824           (404,824

Singapore

          (1,457,186           (1,457,186

Spain

          (7,833,915           (7,833,915

Sweden

          (2,672,985           (2,672,985

Switzerland

          (3,496,669           (3,496,669

United Kingdom

          (13,914,038           (13,914,038

United States

    (89,411,078                 (89,411,078
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (93,319,476     (96,584,203           (189,903,679
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Spain

    (11,914                 (11,914
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    (11,914                 (11,914
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (6,867,685           (6,867,685

Futures Contracts

         

Equity Risk

    (45,699,882     (26,890,248           (72,590,130

Swap Contracts

         

Equity Risk

          (342,587           (342,587

Interest Rate Risk

          (1,662,679           (1,662,679
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (139,031,272   $ (132,347,402   $     $ (271,378,674
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


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

Mutual Funds

  $ 927,463,720     $     $     $ 927,463,720  

Debt Obligations

         

Asset-Backed Securities

          25,582             25,582  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          25,582             25,582  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    285,577                   285,577  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    927,749,297       25,582             927,774,879  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          89,477             89,477  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 927,749,297     $ 115,059     $     $ 927,864,356  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

 

Derivatives^

 

Futures Contracts

         

Equity Risk

  $ (1,593,404   $ (2,682,310   $     $ (4,275,714
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Global Developed Equity Allocation Fund

 

Asset Valuation Inputs

 

Mutual Funds

  $ 79,027,675     $     $     $ 79,027,675  

Short-Term Investments

    58,155                   58,155  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    79,085,830                   79,085,830  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 79,085,830     $     $     $ 79,085,830  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Global Equity Allocation Fund

 

Asset Valuation Inputs

 

Mutual Funds

  $ 1,588,165,896     $     $     $ 1,588,165,896  

Short-Term Investments

    539,758                   539,758  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,588,705,654                   1,588,705,654  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,588,705,654     $     $     $ 1,588,705,654  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Consolidated Implementation Fund  
Asset Valuation Inputs  

Common Stocks

         

Argentina

  $ 4,359,825     $     $     $ 4,359,825  

Australia

          62,810,983             62,810,983  

Austria

          213,714             213,714  

Belgium

          14,808,097             14,808,097  

Brazil

          44,325,610             44,325,610  

Canada

    63,796,482                   63,796,482  

Chile

    2,095,236       836,899             2,932,135  

China

    114,416,819       679,969,765       38,237       794,424,821  

Cyprus

    1,075,867                   1,075,867  

Czech Republic

          663,393             663,393  

Denmark

          11,936,764             11,936,764  

Egypt

          92,241             92,241  

Finland

          11,726,723             11,726,723  

France

    301,340       81,151,713             81,453,053  

Germany

          64,027,104             64,027,104  

Greece

          1,164,351             1,164,351  

Hong Kong

          40,559,759             40,559,759  

Hungary

          3,918,794             3,918,794  

India

    12,948,160       103,765,626             116,713,786  

Indonesia

          32,455,229             32,455,229  

Ireland

    2,044,925       16,571,933             18,616,858  

Israel

    3,576,711       371,521             3,948,232  

Italy

          51,155,892             51,155,892  

Japan

          503,673,661             503,673,661  

Kuwait

          8,611,236             8,611,236  

Malaysia

          4,672,840             4,672,840  

Mexico

    69,961,348                   69,961,348  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Implementation Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Netherlands

  $ 3,742,168     $ 61,290,793     $ 879     $ 65,033,840  

New Zealand

          4,191,388             4,191,388  

Norway

          23,232,074             23,232,074  

Pakistan

          4,919,174             4,919,174  

Philippines

          5,176,854             5,176,854  

Poland

          25,752,669             25,752,669  

Portugal

          23,986,799             23,986,799  

Qatar

          8,200,574             8,200,574  

Russia

    1,803,972       221,412,278             223,216,250  

Saudi Arabia

          1,080,367             1,080,367  

Singapore

          43,065,961             43,065,961  

South Africa

    3,984,728       102,839,653             106,824,381  

South Korea

    6,945,818       153,265,057             160,210,875  

Spain

          62,101,235             62,101,235  

Sweden

          19,589,130             19,589,130  

Switzerland

          24,495,494             24,495,494  

Taiwan

    18,681,201       330,108,625             348,789,826  

Thailand

          6,262,241             6,262,241  

Turkey

          45,576,883             45,576,883  

United Arab Emirates

          7,500,780             7,500,780  

United Kingdom

    36,852,285       183,789,047             220,641,332  

United States

    1,005,108,250             14,113,742       1,019,221,992  

Vietnam

          1,610,475             1,610,475  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    1,351,695,135       3,098,931,399       14,152,858       4,464,779,392  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          18,002,005             18,002,005  

Colombia

    712,047                   712,047  

Germany

          8,455,468             8,455,468  

Russia

          24,272,469             24,272,469  

South Korea

          31,189,107             31,189,107  

Taiwan

          828,616             828,616  

United States

                479,066       479,066  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    712,047       82,747,665       479,066       83,938,778  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Pakistan

                18,530       18,530  

Spain

    328,511                   328,511  

United Kingdom

    402,154                   402,154  

United States

    861,636             430,926       1,292,562  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    1,592,301             449,456       2,041,757  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

    24,823,811             22,262,400       47,086,211  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

    24,823,811             22,262,400       47,086,211  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

Brazil

          9,536,800             9,536,800  

Israel

          7,915,622             7,915,622  

Jamaica

          5,386,216       4,850,266       10,236,482  

Netherlands

                10,507,230       10,507,230  

Puerto Rico

          13,078,614             13,078,614  

United States

    1,022,637,448       183,142,642       47,661,527       1,253,441,617  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    1,022,637,448       219,059,894       63,019,023       1,304,716,365  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    20,383,922                   20,383,922  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    20,383,922                   20,383,922  
   

 

 

   

 

 

   

 

 

   

 

 

 

Purchased Options

    566,500                   566,500  

Short-Term Investments

    118,191,277       117,059,454             235,250,731  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    2,540,602,441       3,517,798,412       100,362,803       6,158,763,656  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Implementation Fund (continued)  
Asset Valuation Inputs (continued)  

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ 21,639,982     $     $ 21,639,982  

Futures Contracts

         

Equity Risk

    11,757,115       272,338             12,029,453  

Interest Rate Risk

    222,269                   222,269  

Physical Commodity Contract Risk

    1,183,955                   1,183,955  

Swap Contracts

         

Equity Risk

          257,305             257,305  

Interest Rate Risk

          4,856,725             4,856,725  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 2,553,765,780     $ 3,544,824,762     $ 100,362,803     $ 6,198,953,345  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

 

Common Stocks

         

Australia

  $     $ (17,489,410   $     $ (17,489,410

Austria

          (2,788,614           (2,788,614

Canada

    (3,359,822                 (3,359,822

China

    (4,393,893                 (4,393,893

France

          (24,973,363           (24,973,363

Germany

          (33,819,990           (33,819,990

Italy

          (8,749,490           (8,749,490

Japan

          (74,384,917           (74,384,917

Netherlands

          (22,789,847           (22,789,847

Norway

          (353,868           (353,868

Peru

    (3,069,429                 (3,069,429

Russia

          (1,042,256           (1,042,256

Singapore

          (3,802,529           (3,802,529

Spain

          (20,420,492           (20,420,492

Sweden

          (6,956,405           (6,956,405

Switzerland

          (8,978,150           (8,978,150

United Kingdom

    (28,965,822     (36,260,258           (65,226,080

United States

    (458,320,948                 (458,320,948
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (498,109,914     (262,809,589           (760,919,503
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Spain

    (30,677                 (30,677
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    (30,677                 (30,677
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

          (3,121,859           (3,121,859
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          (3,121,859           (3,121,859
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (27,469,270           (27,469,270

Futures Contracts

         

Equity Risk

    (119,569,898     (71,824,595           (191,394,493

Interest Rate Risk

    (7,134                 (7,134

Physical Commodity Contract Risk

    (4,661,087                 (4,661,087

Written Options

         

Equity Risk

    (1,505,000                 (1,505,000

Swap Contracts

         

Credit Risk

          (686,320           (686,320

Equity Risk

          (913,736           (913,736

Interest Rate Risk

          (9,715,755           (9,715,755
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (623,883,710   $ (376,541,124   $     $ (1,000,424,834
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
International Developed Equity Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 209,902,364     $     $     $ 209,902,364  

Short-Term Investments

    92,137                   92,137  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    209,994,501                   209,994,501  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 209,994,501     $     $     $ 209,994,501  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
International Equity Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 802,125,907     $     $     $ 802,125,907  

Short-Term Investments

    175,252                   175,252  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    802,301,159                   802,301,159  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 802,301,159     $     $     $ 802,301,159  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Consolidated SGM Major Markets Fund  
Asset Valuation Inputs  

Debt Obligations

         

U.S. Government

  $ 328,188,547     $     $     $ 328,188,547  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    328,188,547                   328,188,547  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    9,764,293       624,931             10,389,224  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    337,952,840       624,931             338,577,771  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          1,929,770             1,929,770  

Futures Contracts

         

Equity Risk

    5,959,113       15,699             5,974,812  

Interest Rate Risk

    164,265                   164,265  

Physical Commodity Contract Risk

    789,173                   789,173  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 344,865,391     $ 2,570,400     $     $ 347,435,791  
   

 

 

   

 

 

   

 

 

   

 

 

 

Liability Valuation Inputs

 

Derivatives^

 

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (581,860   $     $ (581,860

Futures Contracts

         

Equity Risk

    (1,122,082     (810,040           (1,932,122

Interest Rate Risk

    (6,148                 (6,148

Physical Commodity Contract Risk

    (3,087,658                 (3,087,658
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (4,215,888   $ (1,391,900   $     $ (5,607,788
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Consolidated Special Opportunities Fund  

Asset Valuation Inputs

 

Common Stocks

         

Germany

  $     $ 3,459,546     $     $ 3,459,546  

Israel

    9,706,340                   9,706,340  

New Zealand

          12,602,858             12,602,858  

United Kingdom

    6,521,600       8,223,485             14,745,085  

United States

    172,615,620                   172,615,620  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    188,843,560       24,285,889             213,129,449  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    12,795,746       10             12,795,756  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    201,639,306       24,285,899             225,925,205  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 201,639,306     $ 24,285,899     $     $ 225,925,205  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Strategic Opportunities Allocation Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 4,514,893     $     $ 4,514,893  

Austria

          26,534             26,534  

Belgium

          1,366,900             1,366,900  

Canada

    5,119,390                   5,119,390  

China

    237,828       3,348,219             3,586,047  

Denmark

          1,227,700             1,227,700  

Finland

          1,449,492             1,449,492  

France

          6,633,666             6,633,666  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Strategic Opportunities Allocation Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Germany

  $     $ 6,044,937     $     $ 6,044,937  

Greece

          72,347             72,347  

Hong Kong

          3,402,855             3,402,855  

India

          1,255,745             1,255,745  

Indonesia

          51,083             51,083  

Ireland

          1,633,540             1,633,540  

Israel

    359,478       38,850             398,328  

Italy

          4,590,586             4,590,586  

Japan

          57,226,857             57,226,857  

Malta

                0 §      0 § 

Mexico

    1,499,379                   1,499,379  

Netherlands

    371,276       4,924,306             5,295,582  

New Zealand

          408,293             408,293  

Norway

          2,375,925             2,375,925  

Portugal

          1,398,815             1,398,815  

Russia

          1,090,568             1,090,568  

Singapore

          2,239,720             2,239,720  

South Africa

          398,097             398,097  

South Korea

          64,940             64,940  

Spain

          5,135,636             5,135,636  

Sweden

          716,027             716,027  

Switzerland

          749,556             749,556  

Taiwan

          482,891             482,891  

United Kingdom

          16,537,039       3,419       16,540,458  

United States

    34,713,934                   34,713,934  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    42,301,285       129,406,017       3,419       171,710,721  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          821,300             821,300  

Germany

          664,974             664,974  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          1,486,274             1,486,274  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Spain

    23,403                   23,403  

United Kingdom

    13,204                   13,204  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    36,607                   36,607  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    420,819,308                   420,819,308  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    420,819,308                   420,819,308  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    26,270,217                   26,270,217  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    489,427,417       130,892,291       3,419       620,323,127  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          101,697             101,697  

Swap Contracts

         

Equity Risk

          23,540             23,540  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 489,427,417     $ 131,017,528     $ 3,419     $ 620,448,364  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Common Stocks

         

Australia

  $     $ (1,774,000   $     $ (1,774,000

Austria

          (281,124           (281,124

Canada

    (277,009                 (277,009

China

    (439,756                 (439,756

France

          (2,509,390           (2,509,390

Germany

          (3,451,952           (3,451,952

Italy

          (868,231           (868,231

Japan

          (7,496,620           (7,496,620

Netherlands

          (1,142,902           (1,142,902

Norway

          (35,641           (35,641
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Strategic Opportunities Allocation Fund (continued)  
Liability Valuation Inputs (continued)  

Common Stocks (continued)

         

Peru

  $ (314,661   $     $     $ (314,661

Russia

          (99,549           (99,549

Singapore

          (383,088           (383,088

Spain

          (2,061,703           (2,061,703

Sweden

          (703,985           (703,985

Switzerland

          (899,849           (899,849

United Kingdom

          (3,646,366           (3,646,366

United States

    (23,542,046                 (23,542,046
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (24,573,472     (25,354,400           (49,927,872
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Spain

    (2,930                 (2,930
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    (2,930                 (2,930
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (149,830           (149,830

Futures Contracts

         

Equity Risk

          (2,921,080           (2,921,080

Swap Contracts

         

Equity Risk

          (88,544           (88,544
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (24,576,402   $ (28,513,854   $     $ (53,090,256
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

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 November 30, 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). Implementation Fund’s Level 3 holdings also includes two common stocks which are priced at the average of broker bids and a common stock priced with a 2,000 basis point discount to a comparable stock and an additional 1,000 basis point discount for liquidity considerations. Other than described above, there were no other Funds with classes of investments or derivatives with direct material Level 3 holdings at November 30, 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
November 30,
2020
           Net Change in
Unrealized
Appreciation
(Depreciation)
from Investments
Still Held as of
November 30, 2020
 

Consolidated Alternative Allocation Fund

 

                 

Investment Funds

 

                     

United States

  $ 2,667,600     $ 9,620,271     $ (4,424,896   $     $     $ 591,265     $     $     $ 8,454,240       $ 591,265  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

 

Total Investments

  $ 2,667,600     $ 9,620,271     $ (4,424,896   $     $     $ 591,265     $     $     $ 8,454,240       $ 591,265  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

 
                                                                                         


                       
     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
November 30,
2020
           Net Change in
Unrealized
Appreciation
(Depreciation)
from Investments
Still Held as of
November 30, 2020
 

Consolidated Implementation Fund

 

                   

Common Stocks

 

                     

China

  $     $     $     $     $     $     $ 38,237  ‡    $     $ 38,237       $  

Netherlands

          867                         12                   879         12  

United States

    9,521,813       5,041,256       (302,137                 (147,190                 14,113,742         (147,190

Preferred Stocks

 

                     

United States

          110,130                         368,936                   479,066         368,936  

Rights/Warrants

 

                     

Pakistan

                                  18,530                   18,530         18,530  

United States

    430,926                                                 430,926          

Investment Funds

 

                     

United States

    29,566,080       7,679,409       (16,120,764           1,495,949       (358,274                 22,262,400         (358,274

Debt Obligations

 

                     

Bank Loans

                       

Luxembourg

    7,763,747             (6,906,643     43,520       (2,263,375     1,362,751                            

Jamaica

    1,925,000       2,790,550       (33,948     96,554             72,110                   4,850,266         72,110  

United States

    67,533,991       38,255,972       (51,647,123     (952,365     (18,584,745     7,268,034       5,787,763  ‡            47,661,527         173,041  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

 

Corporate Debt

                       

Netherlands

          12,326,783       (1,364,354     23,346       18,426       (496,971                 10,507,230         (496,971
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

 

Total Investments

  $ 116,741,557     $ 66,204,967     $ (76,374,969 )#      (788,945)     $ (19,333,745   $ 8,087,938     $ 5,826,000     $     $ 100,362,803       $ (369,806
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

 
                                                                                         

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

# Includes $12,238,178 of proceeds received from partial calls and/or principal paydowns as applicable.

Some Funds have 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 November 30, 2020.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type   Total Fair
Value ($)
    Valuation
Methodology
    Unobservable Inputs     Range
(Weighted
Average)
 

Consolidated Alternative Allocation Fund

                               

N/A

          N/A       N/A       N/A  

Consolidated Implementation Fund

                               

Common Stock

    3,324,152       Fair Value       Discount Rate       30% (N/A)  

Common Stock

    2,142,778       Fair Value       Most Relevant Broker Quote       $3.5-$5.417 ($4.02)  
                                 

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of November 30, 2020, the value of these securities and/or derivatives for Consolidated Alternative Allocation Fund and Consolidated Implementation Fund was $8,454,240 and $94,895,873, 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. A summary of the Funds’ transactions involving companies that are or were affiliates during the period ended November 30, 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      $ 9,450,000      $ 4,855,000      $ 114,884     $      $ 52,583     $ 2,371,275     $ 20,614,557  

GMO International Equity Fund, Class IV

     9,097,096        6,110,000        15,842,055        40,733              (267,945     902,904        

GMO Resources Fund, Class IV

     6,568,271        5,483,583        1,300,000        4,007              (124,773     5,012,487       15,639,568  

GMO U.S. Treasury Fund

            3,000,000        3,000,000        346                           
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 29,261,066      $ 24,043,583      $ 24,997,055      $ 159,970     $      $ (340,135   $ 8,286,666     $ 36,254,125  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Benchmark-Free Allocation Fund

 

GMO Emerging Country Debt Fund, Class IV

   $ 264,983,913      $ 6,689,062      $ 60,499,003      $ 3,773,746     $ 2,915,316      $ 651,844     $ (1,813,092   $ 210,012,724  

GMO High Yield Fund, Class VI

     110,184,438        670,111        34,400,000        608,301       61,810        (532,087     3,200,507       79,122,969  

GMO Implementation Fund

     7,114,226,325        615,325,717        1,826,526,463        15,205,271              (75,656,995     (164,658,218     5,662,710,366  

GMO Opportunistic Income Fund, Class VI

     446,590,600        3,984,656        112,388,843        3,984,656              3,939,243       (5,950,929     336,174,727  

GMO SGM Major Markets Fund, Class VI

     664,643,917        207,992        503,632,844        207,991              (43,213,564     66,645,357       184,650,858  

GMO Special Opportunities Fund, Class VI

     195,830,895        128,540,064        272,711,511              78,540,064        45,100,795       84,654,123       181,414,366  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 8,796,460,088      $ 755,417,602      $ 2,810,158,664      $ 23,779,965     $ 81,517,190      $ (69,710,764   $ (17,922,252   $ 6,654,086,010  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Benchmark-Free Fund

 

GMO Emerging Country Debt Fund, Class IV

   $ 88,839,361      $ 2,339,588      $ 22,240,602      $ 1,319,918     $ 1,019,670      $ (644,583   $ 124,014     $ 68,417,778  

GMO Emerging Markets Fund, Class VI

     277,719,859        1,315,877        155,415,000        1,315,877              24,691,274       (5,330,502     142,981,508  

GMO Opportunistic Income Fund, Class VI

     174,387,661        1,667,064        38,700,000        1,667,064              1,314,501       (2,273,828     136,395,398  

GMO SGM Major Markets Fund, Class VI

     119,656,426        59,062,349        131,599,924        62,349              3,726,904       2,865,690       53,711,445  

GMO Special Opportunities Fund, Class VI

     81,623,064        44,787,474        111,531,765              32,687,474        13,223,694       43,899,020       72,001,487  

GMO U.S. Treasury Fund

     1,849,041        104,119,118        101,408,488        **             46,769       (3,673     4,602,767  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 744,075,412      $ 213,291,470      $ 560,895,779      $ 4,365,208     $ 33,707,144      $ 42,358,559     $ 39,280,721     $ 478,110,383  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Global Asset Allocation Fund

 

GMO Alternative Allocation Fund, Class VI

   $ 162,822,665      $ 7,538,183      $ 78,425,730      $ 273,248     $      $ (2,143,804   $ 3,411,540     $ 93,202,854  

GMO Asset Allocation Bond Fund, Class VI

     122,351,825        4,671,342        69,500,257        193,289              2,203,514       1,891,312       61,617,736  

GMO Cyclical Focus Fund Class IV

            38,860,000        18,900,000                     3,168,699       9,101,143       32,229,842  

GMO Emerging Country Debt Fund, Class IV

     57,278,855        2,520,534        26,251,559        756,837       584,677        576,729       (876,765     33,247,794  

GMO Emerging Markets Fund, Class VI

     306,807,240        8,629,698        154,816,851        1,504,007              22,354,867       1,860,633       184,835,587  

GMO International Equity Fund, Class IV

     375,344,309        59,395,592        287,334,867        836,506              (1,744,165     22,342,638       168,003,507  

GMO-Usonian Japan Value Creation Fund, Class VI

            49,952,048        14,000,000                     547,028       2,587,617       39,086,693  

GMO Multi-Sector Fixed Income Fund (formerly GMO Core Plus Bond Fund), Class IV

     234,253,275        13,904,081        117,899,884              5,908,863        7,060,292       (6,299,092     131,018,672  

GMO Opportunistic Income Fund, Class VI

     33,470,164        291,017        14,922,935        291,017              596,515       (663,151     18,771,610  

GMO Quality Fund, Class VI

     29,476,103        949,285        15,455,714        79,376       869,909        2,234,701       1,876,466       19,080,841  

GMO Risk Premium Fund, Class VI

     31,514,461        639,164        17,572,747        90,479       548,686        (3,567,153     808,811       11,822,536  

GMO U.S. Equity Fund, Class VI

     116,800,239        13,993,882        64,627,349        533,897       6,835,412        (3,003,343     12,758,819       75,922,248  

GMO U.S. Small Cap Value Fund, Class VI

     86,440,407        9,339,144        47,841,238        161,901              (2,012,078     10,794,475       56,720,710  

GMO U.S. Treasury Fund

     725,851        75,731,474        74,598,958        11,521              47,541       (2,818     1,903,090  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 1,557,285,394      $ 286,415,444      $ 1,002,148,089      $ 4,732,078     $ 14,747,547      $ 26,319,343     $ 59,591,628     $ 927,463,720  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      


                 
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 Developed Equity Allocation Fund

 

GMO Cyclical Focus Fund, Class IV

   $      $ 3,110,000      $      $     $      $     $ 1,223,785     $ 4,333,785  

GMO Emerging Markets Fund, Class VI

     7,608,658        249,793        701,371        38,586              53,925       598,332       7,809,337  

GMO International Equity Fund, Class IV

     36,181,574        478,106        6,407,140        94,542              (319,264     3,331,169       33,264,445  

GMO-Usonian Japan Value Creation Fund, Class VI

            2,909,413                                  217,312       3,126,725  

GMO Quality Fund, Class VI

     9,214,489        629,461        1,312,995        25,149       275,618        (28,093     1,355,619       9,858,481  

GMO U.S. Equity Fund, Class VI

     13,571,810        1,882,874        3,731,676        51,158       654,971        (1,082,392     2,075,820       12,716,436  

GMO U.S. Small Cap Value Fund, Class VI

     6,770,087        1,047,226        1,316,074        15,306              (42,978     1,460,205       7,918,466  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 73,346,618      $ 10,306,873      $ 13,469,256      $ 224,741     $ 930,589      $ (1,418,802   $ 10,262,242     $ 79,027,675  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Global Equity Allocation Fund

 

GMO Cyclical Focus Fund, Class VI

   $      $ 66,600,000      $ 9,670,000      $     $      $ 2,464,336     $ 23,371,672     $ 82,766,008  

GMO Emerging Markets Fund, Class VI

     405,390,168        24,609,663        37,005,355        2,146,686              7,367,760       32,458,574       432,820,810  

GMO International Equity Fund, Class IV

     608,303,007        23,792,925        150,664,006        1,633,486              4,778,904       48,944,203       535,155,033  

GMO-Usonian Japan Value Creation Fund, Class VI

            58,890,450                                  4,472,928       63,363,378  

GMO Quality Fund, Class VI

     197,661,153        10,042,175        22,756,634        588,626       6,450,933        1,218,191       31,370,005       217,534,890  

GMO U.S. Equity Fund, Class VI

     107,094,199        8,516,450        26,433,930        441,378       5,650,895        (986,361     10,434,367       98,624,725  

GMO U.S. Small Cap Value Fund, Class VI

     137,186,837        24,336,672        31,443,522        317,694              8,524,272       19,296,793       157,901,052  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 1,455,635,364      $ 216,788,335      $ 277,973,447      $ 5,127,870     $ 12,101,828      $ 23,367,102     $ 170,348,542     $ 1,588,165,896  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Consolidated Implementation Fund

 

GMO U.S. Treasury Fund

   $ 6,103,201      $ 302,904,276      $ 288,733,529      $ **    $      $ 121,961     $ (11,987   $ 20,383,922  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

International Developed Equity Allocation Fund

 

GMO Emerging Markets Fund, Class VI

   $ 30,679,613      $ 1,924,781      $ 13,908,456      $ 161,609     $      $ 1,371,579     $ 811,009     $ 20,878,526  

GMO International Equity Fund, Class IV

     266,698,094        7,875,416        112,928,865        734,291              252,406       18,784,690       180,681,741  

GMO-Usonian Japan Value Creation Fund, Class VI

            7,757,903                                  584,194       8,342,097  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 297,377,707      $ 17,558,100      $ 126,837,321      $ 895,900     $      $ 1,623,985     $ 20,179,893     $ 209,902,364  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

International Equity Allocation Fund

 

GMO Emerging Markets Fund, Class VI

   $ 306,462,975      $ 52,846,228      $ 54,641,882      $ 1,428,821     $      $ 5,449,755     $ 18,741,872     $ 328,858,948  

GMO International Equity Fund, Class IV

     550,104,514        10,100,114        157,673,962        1,367,771              (26,019,871     64,492,747       441,003,542  

GMO-Usonian Japan Value Creation Fund, Class VI

            30,000,259                                  2,263,158       32,263,417  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 856,567,489      $ 92,946,601      $ 212,315,844      $ 2,796,592     $      $ (20,570,116   $ 85,497,777     $ 802,125,907  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      


                 
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
 

Strategic Opportunities Allocation Fund

 

GMO Emerging Country Debt Fund, Class IV

   $ 27,054,909      $ 712,493      $ 6,411,557      $ 401,964      $ 310,528      $ (74,536   $ (81,114   $ 21,200,195  

GMO Emerging Markets Fund, Class VI

     182,753,835        973,913        63,045,000        973,913               11,567,199       4,219,146       136,469,093  

GMO International Equity Fund, Class IV

     198,303,123        17,284,319        156,604,771        492,668               3,325,083       7,966,222       70,273,976  

GMO Multi-Sector Fixed Income Fund (formerly GMO Core Plus Bond Fund), Class IV

     67,321,337        1,689,789        26,886,119               1,689,789        731,838       (690,774     42,166,071  

GMO Opportunistic Income Fund, Class VI

     21,226,892        195,626        5,453,377        195,627               255,543       (278,435     15,946,249  

GMO Quality Fund, Class VI

     57,387,212        1,480,564        31,545,000        123,801        1,356,763        378,769       4,092,399       31,793,944  

GMO U.S. Equity Fund, Class VI

     28,351,515        5,788,676        10,675,000        129,587        1,659,089        (2,082,383     4,819,333       26,202,141  

GMO U.S. Small Cap Value Fund, Class VI

     53,392,571        5,428,680        24,650,000        108,627               (1,228,176     6,817,468       39,760,543  

GMO U.S. Treasury Fund

     5,804,477        116,618,087        85,454,059        22,128               50,141       (11,550     37,007,096  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 641,595,871      $ 150,172,147      $ 410,724,883      $ 2,448,315      $ 5,016,169      $ 12,923,478     $ 26,852,695     $ 420,819,308  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                       

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2020 through November 30, 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 $53,982 and $167,056 in Benchmark-Free Fund and Consolidated Implementation Fund, respectively, during the period.

Subsequent events

As of close of business on January 22, 2021, pursuant to approval by shareholders of Benchmark-Free Allocation Series Fund, Global Asset Allocation Series Fund, International Developed Equity Allocation Series Fund and International Equity Allocation Series Fund (each, a “Selling Fund”), each Selling Fund was reorganized with and into the corresponding series of GMO Trust (each, an “Acquiring Fund”). As part of the reorganization, each Selling Fund shareholder received shares of the corresponding Acquiring Fund in exchange for Selling Fund shares. Following the reorganization, the Selling Funds were terminated.

In January 2021, the Board of Trustees approved the termination of GMO Special Opportunities Fund. The Fund is expected to liquidate on or about January 27, 2021.

* * *

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.