NPORT-EX 2 NPORT_IZ5L_53758277_1122.htm GMO Trust

GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 95.7%

 

          Argentina — 0.9%  
    991,915     Adecoagro SA (a)     8,193,218  
     

 

 

 
          Australia — 0.5%  
    320,055     Clean TeQ Water Ltd * (a)     83,954  
    909,387     Sandfire Resources Ltd     3,147,654  
    1,134,203     Sunrise Energy Metals Ltd * (a)     1,577,867  
     

 

 

 
    Total Australia     4,809,475  
     

 

 

 
          Belgium — 0.2%  
    46,771     Umicore SA     1,687,934  
     

 

 

 
          Brazil — 2.6%  
    759,700     Dexco SA     1,222,406  
    1,635,167     Sao Martinho SA     9,030,782  
    608,420     SLC Agricola SA     5,261,909  
    869,600     Suzano SA     8,906,557  
     

 

 

 
    Total Brazil     24,421,654  
     

 

 

 
          Canada — 10.4%  
    476,293     Anaergia Inc * (a)     1,529,633  
    842,767     Canadian Solar Inc * (a)     30,213,197  
    575,864     First Quantum Minerals Ltd (a)     13,690,763  
    1,925,700     Greenlane Renewables Inc * (a)     816,005  
    2,810,057     Ivanhoe Mines Ltd – Class A * (a)     25,151,906  
    1,008,392     Largo Inc * (a)     5,622,377  
    1,333,508     Li-Cycle Holdings Corp * (a)     8,494,446  
    123,700     NFI Group Inc (a)     915,002  
    137,260     Nutrien Ltd     11,031,616  
     

 

 

 
    Total Canada          97,464,945  
     

 

 

 
          China — 2.4%  
    1,031,000     Canvest Environmental Protection Group Co Ltd     581,502  
    75,000     Chaowei Power Holdings Ltd     16,105  
    8,528,114     China High Speed Transmission Equipment Group Co Ltd * (a)     3,980,183  
    3,654,494     China Water Affairs Group Ltd     2,978,246  
    225,792     Hollysys Automation Technologies Ltd (a)     3,861,043  
    1,737,600     Tianjin Capital Environmental Protection Group Co Ltd – Class A     1,582,300  
    2,606,006     Tianneng Power International Ltd (a)     2,814,704  
    4,479,352     Xinjiang Goldwind Science & Technology Co Ltd – Class H     4,854,857  
    1,226,576     Yutong Bus Co Ltd – Class A     1,371,775  
    126,200     Zhuzhou CRRC Times Electric Co Ltd     586,355  
     

 

 

 
    Total China     22,627,070  
     

 

 

 
          Denmark — 3.4%  
    1,216,605     Vestas Wind Systems A/S     31,610,086  
     

 

 

 
          Finland — 1.0%  
    372,648     Kemira Oyj     5,403,422  
     Shares     Description   Value ($)  
          Finland — continued  
    62,677     Neste Oyj     3,235,171  
    44,979     Uponor Oyj     690,015  
     

 

 

 
    Total Finland     9,328,608  
     

 

 

 
          France — 6.7%  
    49,616     Alstom SA     1,302,716  
    148,157     Nexans SA     13,100,570  
    110,474     STMicroelectronics NV     4,270,690  
    726,264     Valeo     13,577,207  
    996,287     Veolia Environnement SA     25,785,766  
    13,327     Vilmorin & Cie SA     684,142  
    114,522     Waga Energy SA * (a)     3,813,918  
     

 

 

 
    Total France     62,535,009  
     

 

 

 
          Germany — 1.8%  
    291,182     E.ON SE     2,791,721  
    139,577     Infineon Technologies AG     4,688,454  
    33,202     Knorr-Bremse AG     1,892,665  
    56,639     Siemens AG (Registered)     7,854,967  
     

 

 

 
    Total Germany     17,227,807  
     

 

 

 
          Italy — 0.3%  
    67,877     Prysmian SPA     2,392,039  
     

 

 

 
          Japan — 4.3%  
    263,700     Ebara Corp     10,252,587  
    240,700     GS Yuasa Corp     3,821,990  
    41,300     Kurita Water Industries Ltd     1,852,049  
    9,900     METAWATER Co Ltd     129,660  
    151,600     Organo Corp     3,144,986  
    502,800     Panasonic Holdings Corp (a)     4,694,979  
    995,100     Renesas Electronics Corp *     9,759,645  
    337,200     Yokogawa Electric Corp     6,359,478  
     

 

 

 
    Total Japan          40,015,374  
     

 

 

 
          Mexico — 2.2%  
    4,295,205     Grupo Mexico SAB de CV – Series B     17,475,567  
    1,732,800     Orbia Advance Corp SAB de CV     3,394,830  
     

 

 

 
    Total Mexico     20,870,397  
     

 

 

 
          Netherlands — 0.5%  
    119,820     Arcadis NV     4,890,970  
     

 

 

 
          Norway — 0.7%  
    778,202     Austevoll Seafood ASA     6,365,082  
     

 

 

 
          Pakistan — 0.0%  
    364,949     Fauji Fertilizer Co Ltd     167,235  
     

 

 

 
          Russia — 0.2%  
    72,215     MMC Norilsk Nickel PJSC (b)     1,183,225  
    3     MMC Norilsk Nickel PJSC ADR * (b)     5  
    120,856     PhosAgro PJSC (b)     891,393  
 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          Russia — continued  
    2,335     PhosAgro PJSC GDR * (b) (c)     5,753  
    169,638     Ros Agro Plc GDR (Registered) * (b)     153,270  
     

 

 

 
    Total Russia     2,233,646  
     

 

 

 
          South Korea — 6.4%  
    102,300     LG Chem Ltd     58,396,070  
    2,346     Samsung SDI Co Ltd     1,324,382  
     

 

 

 
    Total South Korea          59,720,452  
     

 

 

 
          Spain — 0.3%  
    146,332     Red Electrica Corp SA     2,562,045  
     

 

 

 
          Switzerland — 0.2%  
    17,491     Gurit Holding AG (a)     1,797,989  
     

 

 

 
          Thailand — 0.1%  
    2,418,500     SPCG Pcl     995,432  
     

 

 

 
          Ukraine — 0.1%  
    219,994     Kernel Holding SA     909,810  
     

 

 

 
          United Kingdom — 1.0%  
    616,344     Drax Group Plc     4,559,763  
    219,465     National Grid Plc     2,699,657  
    366,690     Renewi Plc *     2,477,298  
     

 

 

 
    Total United Kingdom     9,736,718  
     

 

 

 
          United States — 49.5%  
    342,762     Aemetis, Inc. * (a)     1,888,619  
    185,792     AGCO Corp.     24,658,314  
    307,700     Alcoa Corp.     15,425,001  
    701,560     Ameresco, Inc. – Class A * (a)     45,966,211  
    687,361     BorgWarner, Inc.     29,219,716  
    2,927,838     Clean Energy Fuels Corp. *     19,792,185  
    26,363     Consolidated Edison, Inc.     2,584,629  
    36,438     Constellation Energy Corp.     3,502,421  
    127,724     Corteva, Inc.     8,577,944  
    474,250     Darling Ingredients, Inc. *     34,065,377  
    24,822     Deere & Co.     10,946,502  
    37,466     Edison International     2,497,484  
    52,691     EnerSys     3,982,386  
    57,428     Exelon Corp.     2,375,796  
    307,122     Freeport-McMoRan, Inc.     12,223,456  
    1,171,395     Gevo, Inc. * (a)     2,553,641  
    4,720,192     GrafTech International Ltd.     25,489,037  
    669,331     Green Plains, Inc. *     23,132,079  
    42,116     Johnson Controls International Plc     2,798,187  
    450,737     Livent Corp. * (a)     12,616,129  
    9,218     Montauk Renewables, Inc. *     111,261  
    403,718     Mosaic Co. (The)     20,710,733  
    211,748     Mueller Water Products, Inc. – Class A     2,468,982  
    20,787     MYR Group, Inc. *     1,985,782  
    78,265     ON Semiconductor Corp. *     5,885,528  
     Shares     Description   Value ($)  
          United States — continued  
    71,609     Owens Corning     6,361,744  
    29,572     Pentair Plc     1,353,510  
    162,881     PotlatchDeltic Corp. (REIT)     7,784,083  
    99,023     Sensata Technologies Holding Plc     4,465,937  
    185,024     SolarEdge Technologies, Inc. *     55,296,273  
    1,737,111     Sunrun, Inc. *     56,595,076  
    49,653     TE Connectivity Ltd.     6,262,236  
    5,357     Valmont Industries, Inc.     1,814,202  
    87,258     Westinghouse Air Brake Technologies Corp.     8,820,910  
     

 

 

 
    Total United States     464,211,371  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $872,805,349)
    896,774,366  
     

 

 

 
          PREFERRED STOCKS (d) — 1.4%  
          Chile — 1.4%  
    131,658     Sociedad Quimica y Minera de Chile SA Sponsored ADR     13,055,207  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $6,029,670)
    13,055,207  
     

 

 

 
          MUTUAL FUNDS — 2.7%  
          United States — 2.7%  
          Affiliated Issuers — 2.7%  
    24,945,517     GMO U.S. Treasury Fund (e)     24,945,517  
     

 

 

 
    Total United States     24,945,517  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $24,945,517)
         24,945,517  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%  
          Australia — 0.0%  
    103,339     Sandfire Resources Ltd., expires 12/08/22 * (f)      
     

 

 

 
    Total Australia      
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
     
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    465,014     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (g)     465,014  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $465,014)
    465,014  
     

 

 

 
    TOTAL INVESTMENTS — 99.8%
(Cost $904,245,550)
    935,240,104  
    Other Assets and Liabilities (net) — 0.2%     1,687,045  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $936,927,149  
     

 

 

 
 


GMO Climate Change Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
November 30, 2022
 
PhosAgro PJSC GDR    08/09/19    $ 36,037      0.0%   $ 5,753  
          

 

 

 

 

Notes to Schedule of Investments:

 

*

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)

The security is restricted as to resale.

 

(d)

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

 

(e)

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

 

(f)

Investment valued using significant unobservable inputs.

 

(g)

The rate disclosed is the 7 day net yield as of November 30, 2022.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

REIT - Real Estate Investment Trust

 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
    COMMON STOCKS — 89.7%

 

          Brazil — 2.0%  
    36,200     BB Seguridade Participacoes SA     218,483  
    51,600     CPFL Energia SA     347,026  
    12,100     EDP – Energias do Brasil SA     49,479  
    139,927     Enauta Participacoes SA     361,321  
    3,700     Engie Brasil Energia SA     28,163  
    65,104     Localiza Rent a Car SA     753,996  
    199     Localiza Rent a Car SA GDR * (a)     2,305  
    148,900     Transmissora Alianca de Energia Eletrica SA     991,069  
    229,799     Vale SA Sponsored ADR – Class B     3,791,684  
     

 

 

 
    Total Brazil     6,543,526  
     

 

 

 
          Chile — 0.5%  
    2,150,901     Banco de Chile     203,438  
    116,506     Banco Santander Chile     4,536  
    2,900     Banco Santander Chile ADR     45,269  
    39,008     CAP SA     286,349  
    88,363     Cencosud SA     131,746  
    55,591     Cencosud Shopping SA     71,037  
    29,700     Cia Cervecerias Unidas SA Sponsored ADR     361,746  
    3,537,020     Colbun SA     314,695  
    92,049     Inversiones La Construccion SA     290,671  
     

 

 

 
    Total Chile            1,709,487  
     

 

 

 
          Colombia — 0.1%  
    147,767     Ecopetrol SA     70,088  
    37,179     Ecopetrol SA Sponsored ADR     366,957  
     

 

 

 
    Total Colombia     437,045  
     

 

 

 
          Czech Republic — 0.2%  
    705     Philip Morris CR AS     511,282  
     

 

 

 
          Egypt — 0.4%  
    525,037     Commercial International Bank Egypt SAE     860,512  
    937,132     Eastern Co SAE     492,444  
     

 

 

 
    Total Egypt     1,352,956  
     

 

 

 
          Greece — 0.0%  
    8,125     JUMBO SA     129,765  
     

 

 

 
          Hungary — 1.3%  
    111,083     MOL Hungarian Oil & Gas Plc     804,175  
    118,658     OTP Bank Nyrt     3,271,609  
    15,538     Richter Gedeon Nyrt     334,259  
     

 

 

 
    Total Hungary     4,410,043  
     

 

 

 
          India — 7.4%  
    11,586     Aurobindo Pharma Ltd     67,209  
    20,000     Axis Bank Ltd GDR (Registered)     1,129,027  
    34,200     Azure Power Global Ltd *     195,282  
         
Shares
    Description   Value ($)  
          India — continued  
    25,111     Bandhan Bank Ltd *     73,777  
    91,457     Bharat Electronics Ltd     119,004  
    45,975     Castrol India Ltd     74,231  
    1,753,236     Coal India Ltd     4,952,398  
    20,616     Cochin Shipyard Ltd     169,771  
    6,262     Colgate-Palmolive India Ltd     125,508  
    12,719     Coromandel International Ltd     145,735  
    5,540     Deepak Fertilisers & Petrochemicals Corp Ltd     55,409  
    7,764     EID Parry India Ltd     57,962  
    21,005     Exide Industries Ltd     48,977  
    142,927     GAIL India Ltd     167,461  
    11,674     GHCL Ltd     83,423  
    7,994     Great Eastern Shipping Co Ltd (The)     65,738  
    24,083     Gujarat Mineral Development Corp Ltd     46,957  
    22,654     Gujarat Narmada Valley Fertilizers & Chemicals Ltd     167,999  
    61,744     Gujarat State Fertilizers & Chemicals Ltd     100,781  
    14,438     HDFC Bank Ltd     286,963  
    20,200     HDFC Bank Ltd ADR     1,425,514  
    80,000     ICICI Bank Ltd Sponsored ADR     1,897,600  
    60,266     Indian Oil Corp Ltd     57,175  
    88,910     Infosys Ltd Sponsored ADR     1,809,319  
    756,010     ITC Ltd     3,169,817  
    69,015     L&T Finance Holdings Ltd     74,391  
    7,891     Mahanagar Gas Ltd     87,860  
    13,000     MakeMyTrip Ltd *     385,970  
    123,425     Manappuram Finance Ltd     175,658  
    18,198     Muthoot Finance Ltd     243,089  
    891,724     National Aluminium Co Ltd     852,832  
    1,076,206     Oil & Natural Gas Corp Ltd     1,883,681  
    42,955     Oil India Ltd     109,065  
    2,931     Oracle Financial Services Software Ltd     112,669  
    84,216     Petronet LNG Ltd     220,932  
    20,038     Piramal Enterprises Ltd     203,862  
    122,936     Power Grid Corp of India Ltd     338,437  
    21,815     Redington Ltd     48,681  
    49,856     Reliance Industries Ltd     1,678,075  
    2,915     Reliance Industries Ltd Sponsored GDR (Registered)     193,986  
    16,440     Shriram Transport Finance Co Ltd     275,063  
    31,450     Sun TV Network Ltd     191,301  
    23,143     Welspun Corp Ltd     71,896  
    6,400     WNS Holdings Ltd ADR *     539,648  
    16,943     Zensar Technologies Ltd     46,810  
     

 

 

 
    Total India          24,226,943  
     

 

 

 
          Indonesia — 5.2%  
    14,185,600     Adaro Energy Indonesia Tbk PT     3,510,530  
    752,900     Adaro Minerals Indonesia Tbk PT *     78,011  
    1,199,900     AKR Corporindo Tbk PT     106,012  
    9,156,800     Bank Central Asia Tbk PT     5,439,858  
    2,580,500     Bank Mandiri Persero Tbk PT     1,740,706  
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Indonesia — continued  
    808,500     Bank Negara Indonesia Persero Tbk PT     512,177  
    9,688,200     Bank Rakyat Indonesia Persero Tbk PT     3,081,941  
    3,140,300     Bukit Asam Tbk PT     761,932  
    19,000     Gudang Garam Tbk PT     24,095  
    1,221,100     Indika Energy Tbk PT     226,365  
    282,900     Indo Tambangraya Megah Tbk PT     753,478  
    90,200     Telkom Indonesia Persero Tbk PT     23,269  
    277,800     Tower Bersama Infrastructure Tbk PT     40,968  
    422,600     United Tractors Tbk PT     831,230  
     

 

 

 
    Total Indonesia          17,130,572  
     

 

 

 
          Malaysia — 0.2%  
    284,800     Hartalega Holdings Bhd     111,408  
    367,400     Hibiscus Petroleum Bhd     92,092  
    284,300     Kossan Rubber Industries Bhd     71,306  
    71,700     Petronas Chemicals Group Bhd     138,170  
    55,600     RHB Bank Bhd     70,431  
    45,600     TIME dotCom Bhd     50,119  
     

 

 

 
    Total Malaysia     533,526  
     

 

 

 
          Mexico — 8.3%  
    2,949,400     America Movil SAB de CV – Series L     2,866,241  
    117,856     America Movil SAB de CV – Class L Sponsored ADR     2,293,478  
    73,800     Arca Continental SAB de CV     614,299  
    208,500     Banco del Bajio SA     677,457  
    35,600     Cemex SAB de CV Sponsored ADR *     162,692  
    6,300     Coca-Cola Femsa SAB de CV Sponsored ADR     430,353  
    539,400     Credito Real SAB de CV SOFOM ER * (b)      
    18,000     Fomento Economico Mexicano SAB de CV Sponsored ADR     1,437,660  
    30,700     Grupo Aeroportuario del Centro Norte SAB de CV – Class B     266,505  
    62,600     Grupo Aeroportuario del Pacifico SAB de CV –Class B     1,016,804  
    24,718     Grupo Aeroportuario del Sureste SAB de  
    CV – Class B     613,018  
    40     Grupo Aeroportuario del Sureste SAB de  
    CV ADR     9,891  
    1,389,673     Grupo Financiero Banorte SAB de CV –  
    Class O     11,153,253  
    183,200     Grupo Mexico SAB de CV – Series B     745,372  
    58,100     Grupo Televisa SAB Sponsored ADR     317,226  
    132,100     Qualitas Controladora SAB de CV     556,156  
    82,300     Regional SAB de CV     600,891  
    58,876     Sitios Latinoamerica SAB de CV *     26,243  
    836,000     Wal-Mart de Mexico SAB de CV     3,303,877  
     

 

 

 
    Total Mexico     27,091,416  
     

 

 

 
          Philippines — 0.2%  
    327,900     Converge Information and  
    Communications Technology Solutions Inc *     90,310  
         
Shares
    Description   Value ($)  
          Philippines — continued  
    43,130     GT Capital Holdings Inc     336,127  
    420,300     Puregold Price Club Inc     264,938  
     

 

 

 
    Total Philippines     691,375  
     

 

 

 
          Poland — 1.6%  
    49,536     Bank Polska Kasa Opieki SA     947,533  
    43,603     Orange Polska SA     61,411  
    187,179     Polski Koncern Naftowy ORLEN SA     2,755,124  
    191,106     Powszechny Zaklad Ubezpieczen SA     1,368,071  
     

 

 

 
    Total Poland     5,132,139  
     

 

 

 
          Qatar — 0.7%  
    423,354     Qatar National Bank QPSC            2,288,834  
     

 

 

 
          Russia — 1.2%  
    4,036,000     Alrosa PJSC * (b) (c)     300,552  
    434,347     Etalon Group Plc GDR (Registered) (b)     24,383  
    131,280     Evraz Plc (b)     3,239  
    236,860,000     Federal Grid Co Unified Energy System PJSC * (b)     23,447  
    102,255     Gazprom Neft PJSC (b)     54,858  
    897,812     Gazprom PJSC (b)     172,706  
    6,151,400     Inter RAO UES PJSC * (b)     23,144  
    122,088     LUKOIL PJSC (b)     643,920  
    4,327,340     Magnitogorsk Iron & Steel Works PJSC * (b) (c)     155,093  
    7,832     MMC Norilsk Nickel PJSC (b)     128,325  
    5     MMC Norilsk Nickel PJSC ADR * (b)     8  
    172,200     Mobile TeleSystems PJSC ADR * (b)     93,206  
    88,090     Moscow Exchange MICEX-RTS PJSC * (b)     8,770  
    93,370     Novatek PJSC (b)     110,465  
    1,403,510     Novolipetsk Steel PJSC * (b)     170,588  
    4,917     PhosAgro PJSC (b)     36,266  
    95     PhosAgro PJSC GDR * (b) (c)     234  
    276,810     Polymetal International Plc *     802,683  
    11,902     Polyus PJSC * (b)     98,298  
    4,917     Ros Agro Plc GDR (Registered) * (b)     4,443  
    50,074,400     RusHydro PJSC * (b)     43,315  
    3,446,432     Sberbank of Russia PJSC * (b) (c)     535,712  
    140,607     Severstal PJSC GDR (Registered) * (b) (c)     127,290  
    2,387,800     Surgutneftegas PJSC (b)     59,162  
    657,084     Tatneft PJSC (b)     274,430  
    9,408     TCS Group Holding Plc GDR (Registered) * (b)     29,294  
     

 

 

 
    Total Russia     3,923,831  
     

 

 

 
          South Africa — 5.8%  
    10,527     Absa Group Ltd     126,232  
    27,663     Anglo American Platinum Ltd     2,796,027  
    7,736     Aspen Pharmacare Holdings Ltd     64,197  
    43,668     AVI Ltd     187,356  
    9,210     Capitec Bank Holdings Ltd     1,093,458  
    5,110     Clicks Group Ltd     87,910  
    10,707     Exxaro Resources Ltd     140,048  
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          South Africa — continued  
    997,320     FirstRand Ltd     3,876,058  
    57,321     Foschini Group Ltd (The)     349,455  
    70,000     Gold Fields Ltd Sponsored ADR     780,500  
    78,508     Impala Platinum Holdings Ltd     954,153  
    15,664     Investec Ltd     94,543  
    48,049     Kumba Iron Ore Ltd     1,357,441  
    11,996     Motus Holdings Ltd     81,888  
    59,533     Mr Price Group Ltd     581,863  
    75,532     MTN Group Ltd     618,958  
    7,498     Nedbank Group Ltd     99,111  
    96,694     Ninety One Ltd     225,833  
    1,228,743     Old Mutual Ltd     789,312  
    11,305     Omnia Holdings Ltd     46,034  
    2,739     Reinet Investments SCA     48,353  
    171,744     Sanlam Ltd     563,929  
    6,614     Shoprite Holdings Ltd     96,517  
    183,551     Sibanye Stillwater Ltd     510,715  
    90,100     Sibanye Stillwater Ltd ADR     1,010,021  
    976     Standard Bank Group Ltd     10,168  
    29,390     Thungela Resources Ltd     536,463  
    39,085     Tiger Brands Ltd     440,887  
    73,929     Truworths International Ltd     244,923  
    152,555     Vodacom Group Ltd     1,111,043  
    9,463     Woolworths Holdings Ltd     36,035  
     

 

 

 
    Total South Africa          18,959,431  
     

 

 

 
          South Korea — 22.4%  
    106     AfreecaTV Co Ltd     7,092  
    5,449     Alteogen Inc *     151,424  
    3,855     AMOREPACIFIC Group     92,513  
    1,979     BGF retail Co Ltd     310,579  
    22,560     BH Co Ltd     455,920  
    1,248     Caregen Co Ltd     105,997  
    18,784     Cheil Worldwide Inc     348,401  
    294     CJ CheilJedang Corp     88,676  
    939     CJ ENM Co Ltd     59,664  
    951     CJ Logistics Corp *     63,744  
    4,144     Coway Co Ltd     182,447  
    9,357     Daeduck Electronics Co Ltd     168,524  
    42,172     Daou Data Corp     907,861  
    11,560     DB HiTek Co Ltd     401,016  
    6,720     DB Insurance Co Ltd     319,413  
    5,486     DL E&C Co Ltd     177,179  
    135,863     Dongwon Development Co Ltd     373,144  
    542     GOLFZON Co Ltd     45,917  
    496     Green Cross Corp     48,515  
    9,935     GS Engineering & Construction Corp     179,685  
    3,508     GS Holdings Corp     130,389  
    4,117     HAESUNG DS Co Ltd     135,021  
    46,799     Hana Financial Group Inc     1,600,621  
    2,024     Handsome Co Ltd     40,202  
    10,799     Hankook Tire & Technology Co Ltd     282,037  
         
Shares
    Description   Value ($)  
          South Korea — continued  
    1,117     HD Hyundai Co Ltd     55,230  
    5,281     HDC Hyundai Development  
    Co-Engineering & Construction     44,911  
    16,997     HMM Co Ltd     292,928  
    5,979     Huchems Fine Chemical Corp     98,778  
    6,968     Hyundai Engineering & Construction Co Ltd     220,254  
    5,064     Hyundai Glovis Co Ltd     686,977  
    20,479     Hyundai Marine & Fire Insurance Co Ltd     472,384  
    7,625     Hyundai Mobis Co Ltd     1,248,049  
    7,367     Industrial Bank of Korea     63,059  
    3,573     Innox Advanced Materials Co Ltd     80,329  
    9,829     INTOPS Co Ltd     227,264  
    1,499     JYP Entertainment Corp     70,061  
    67,952     KB Financial Group Inc     2,698,220  
    4,472     KCC Glass Corp     140,537  
    2,085     KEPCO Plant Service & Engineering Co Ltd     55,096  
    58,333     Kia Corp            3,072,043  
    2,578     Korea Investment Holdings Co Ltd     114,597  
    1,070     Korea Petrochemical Ind Co Ltd     133,471  
    116,597     Korea Real Estate Investment & Trust Co Ltd     124,490  
    5,057     Korea Zinc Co Ltd     2,444,801  
    65,921     KT Skylife Co Ltd     432,372  
    91,746     KT&G Corp     6,961,602  
    11,229     Kumho Petrochemical Co Ltd     1,291,654  
    496     LG H&H Co Ltd     250,301  
    837     LG Innotek Co Ltd     201,799  
    5,704     LOTTE Fine Chemical Co Ltd     273,216  
    2,666     LX International Corp     84,007  
    14,417     LX Semicon Co Ltd     983,717  
    2,904     MegaStudyEdu Co Ltd     173,855  
    6,256     Meritz Financial Group Inc     182,270  
    70,900     Meritz Securities Co Ltd     318,921  
    17,969     Mirae Asset Securities Co Ltd     91,709  
    399     NCSoft Corp     144,540  
    2,107     Neowiz *     65,838  
    20,454     NH Investment & Securities Co Ltd     150,961  
    421     NongShim Co Ltd     105,568  
    4,910     Orion Corp     440,906  
    16,838     POSCO Holdings Inc     3,854,220  
    14,500     POSCO Holdings Inc Sponsored ADR     827,370  
    6,276     PSK Inc     87,157  
    2,319     S-1 Corp     113,427  
    500     Samsung C&T Corp     46,904  
    5,553     Samsung Electro-Mechanics Co Ltd     607,875  
    518,967     Samsung Electronics Co Ltd     24,935,820  
    3,384     Samsung Fire & Marine Insurance Co Ltd     531,156  
    1,480     Samsung Life Insurance Co Ltd     83,084  
    4,930     Samsung SDS Co Ltd     481,721  
    9,430     Samsung Securities Co Ltd     255,197  
    1,393     Samyang Foods Co Ltd     118,985  
    44,435     SD Biosensor Inc     1,124,196  
    27,968     Seegene Inc     654,664  
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          South Korea — continued  
    3,284     SFA Engineering Corp     101,000  
    82,406     Shinhan Financial Group Co Ltd     2,388,960  
    1,653     SK Chemicals Co Ltd     112,856  
    6,867     SK Hynix Inc     453,222  
    549     SK Square Co Ltd *     15,906  
    1,928     S-Oil Corp     127,649  
    617     Soulbrain Co Ltd     101,425  
    13,389     Spigen Korea Co Ltd     352,071  
    757     Unid Co Ltd     57,053  
    1,188     UNIDBTPLUS Co Ltd *     5,727  
    444,129     Woori Financial Group Inc     4,436,820  
    42,655     Woori Technology Investment Co Ltd *     147,507  
    79     Young Poong Corp     46,208  
    1,249     Youngone Corp     45,510  
    1,639     Yuhan Corp     73,262  
     

 

 

 
    Total South Korea     73,359,648  
     

 

 

 
          Taiwan — 26.3%  
    447,000     Acer Inc     358,743  
    8,000     Advanced Ceramic X Corp     48,709  
    28,000     Advantech Co Ltd     304,789  
    1,011,850     AmTRAN Technology Co Ltd     319,607  
    118,000     Asia Cement Corp     158,558  
    7,000     ASMedia Technology Inc     167,834  
    187,000     Asustek Computer Inc     1,625,423  
    86,000     Aten International Co Ltd     215,836  
    20,000     Aurora Corp     50,984  
    694,000     Catcher Technology Co Ltd            4,139,734  
    2,001,000     Cathay Financial Holding Co Ltd     2,847,539  
    151,900     Chailease Holding Co Ltd     1,002,598  
    164,000     Chicony Electronics Co Ltd     444,264  
    601,176     China Development Financial Holding Corp     262,468  
    469,000     China General Plastics Corp     341,488  
    2,146,000     China Steel Corp     2,037,164  
    245,000     Chipbond Technology Corp     465,674  
    107,000     ChipMOS Technologies Inc     118,007  
    20,000     Chroma ATE Inc     130,480  
    398,000     Chunghwa Telecom Co Ltd     1,465,002  
    33,000     Elan Microelectronics Corp     97,059  
    48,000     Elite Material Co Ltd     301,470  
    953,600     Evergreen Marine Corp Taiwan Ltd     5,119,640  
    68,000     Everlight Electronics Co Ltd     83,290  
    91,000     Far Eastern New Century Corp     96,316  
    40,000     Feng Hsin Steel Co Ltd     87,110  
    244,000     First Financial Holding Co Ltd     208,273  
    15,000     FLEXium Interconnect Inc *     52,398  
    110,000     Formosa Advanced Technologies Co Ltd     141,923  
    49,000     Formosa Chemicals & Fibre Corp     121,318  
    17,000     Formosa International Hotels Corp     131,184  
    1,066,000     Formosa Plastics Corp     3,126,688  
    405,897     Foxconn Technology Co Ltd     689,942  
    1,720,500     Fubon Financial Holding Co Ltd     3,417,289  
         
Shares
    Description   Value ($)  
          Taiwan — continued  
    34,000     Getac Technology Corp     47,285  
    162,000     Gigabyte Technology Co Ltd     577,375  
    21,000     Global Mixed Mode Technology Inc     101,561  
    449,000     Grand Pacific Petrochemical     304,858  
    85,000     Greatek Electronics Inc     135,805  
    1,384,000     HannStar Display Corp     517,722  
    41,000     Holtek Semiconductor Inc     95,605  
    1,512,000     Hon Hai Precision Industry Co Ltd     4,950,721  
    14,000     International Games System Co Ltd     177,808  
    169,000     Inventec Corp     136,374  
    7,000     King Slide Works Co Ltd     94,350  
    391,000     King’s Town Bank Co Ltd     443,433  
    104,000     Kung Long Batteries Industrial Co Ltd     465,826  
    91,000     Largan Precision Co Ltd     6,856,459  
    736,000     Lite-On Technology Corp     1,570,733  
    18,000     Makalot Industrial Co Ltd     137,037  
    467,000     Micro-Star International Co Ltd     1,882,051  
    247,000     Mitac Holdings Corp     239,221  
    648,000     Nan Ya Plastics Corp     1,620,756  
    208,528     Nantex Industry Co Ltd     263,684  
    250,000     Nanya Technology Corp     466,530  
    6,000     Nien Made Enterprise Co Ltd     56,960  
    313,000     Novatek Microelectronics Corp            3,066,859  
    91,000     Phison Electronics Corp     977,336  
    32,000     Powertech Technology Inc     87,275  
    190,000     Primax Electronics Ltd     358,528  
    242,000     Radiant Opto-Electronics Corp     827,612  
    22,000     Raydium Semiconductor Corp     225,130  
    18,000     Realtek Semiconductor Corp     187,127  
    130,000     Shanghai Commercial & Savings Bank Ltd (The)     214,816  
    59,000     Simplo Technology Co Ltd     584,663  
    9,000     Sinbon Electronics Co Ltd     79,501  
    34,000     Sonix Technology Co Ltd     54,021  
    10,000     Sporton International Inc     67,449  
    69,000     Synnex Technology International Corp     131,213  
    39,000     T3EX Global Holdings Corp     100,766  
    38,000     TaiDoc Technology Corp     227,466  
    109,200     Taita Chemical Co Ltd     79,231  
    273,000     Taiwan Glass Industry Corp     207,641  
    23,000     Taiwan Hon Chuan Enterprise Co Ltd     60,342  
    283,000     Taiwan PCB Techvest Co Ltd     337,358  
    172,300     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR     14,297,454  
    140,000     Taiwan Union Technology Corp     262,335  
    30,000     TCI Co Ltd     136,997  
    82,000     Tripod Technology Corp     258,869  
    36,000     Tung Ho Steel Enterprise Corp     62,793  
    23,000     TXC Corp     62,837  
    108,000     United Integrated Services Co Ltd     631,358  
    97,000     Universal Inc     77,650  
    505,000     USI Corp     369,384  
    82,000     Vanguard International Semiconductor Corp     222,680  
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Taiwan — continued  
    27,000     Walsin Technology Corp     77,386  
    791,250     Wan Hai Lines Ltd     1,981,158  
    37,000     Weikeng Industrial Co Ltd     32,381  
    60,000     WPG Holdings Ltd     94,714  
    3,473,000     Yang Ming Marine Transport Corp     7,555,908  
    928,580     Yuanta Financial Holding Co Ltd     683,237  
     

 

 

 
    Total Taiwan     86,002,430  
     

 

 

 
          Thailand — 1.7%  
    166,900     AP Thailand Pcl NVDR     48,044  
    30,200     Bangchak Corp Pcl NVDR     27,521  
    353,200     Chularat Hospital Pcl NVDR     37,104  
    116,300     CP ALL Pcl NVDR     215,322  
    28,200     Kasikornbank Pcl NVDR     116,201  
    28,600     Kiatnakin Phatra Bank Pcl NVDR     58,338  
    96,700     Krung Thai Bank Pcl NVDR     48,527  
    55,900     Major Cineplex Group Pcl NVDR     31,239  
    32,400     Mega Lifesciences Pcl NVDR     43,194  
    835,700     PTT Exploration & Production Pcl NVDR            4,455,964  
    195,900     Regional Container Lines Pcl NVDR     167,983  
    613,200     Sri Trang Gloves Thailand Pcl NVDR     174,460  
    182,100     Star Petroleum Refining Pcl NVDR     60,193  
    41,600     Tisco Financial Group Pcl NVDR     115,400  
     

 

 

 
    Total Thailand     5,599,490  
     

 

 

 
          Turkey — 0.5%  
    1,160,444     Akbank TAS     1,085,469  
    278,414     Enerjisa Enerji AS     434,686  
    17,964     Is Yatirim Menkul Degerler AS     46,044  
    14,603     Mavi Giyim Sanayi Ve Ticaret AS – Class B     89,543  
    29,627     Vestel Beyaz Esya Sanayi ve Ticaret AS     20,247  
     

 

 

 
    Total Turkey     1,675,989  
     

 

 

 
          United Kingdom — 0.6%  
    35,882     Unilever Plc     1,794,140  
     

 

 

 
          Vietnam — 3.1%  
    376,500     Duc Giang Chemicals JSC     940,010  
    2,483,100     Hoa Phat Group JSC     1,868,573  
    784,900     Hoa Sen Group *     362,088  
    296,900     IDICO Corp JSC     434,991  
    570,800     Nam Kim Steel JSC     257,072  
    83,700     PetroVietNam Ca Mau Fertilizer JSC     100,010  
    69,900     Petrovietnam Fertilizer & Chemicals JSC     117,015  
    17,100     PetroVietnam Nhon Trach 2 Power JSC     19,040  
    138,600     PetroVietnam Technical Services Corp     119,594  
    46,700     Phat Dat Real Estate Development Corp *     25,970  
    998,075     Saigon – Hanoi Commercial Joint Stock Bank *     414,166  
    605,800     Saigon Thuong Tin Commercial JSB *     497,766  
    1,618,500     SSI Securities Corp     1,280,457  
    215,700     Vietnam Dairy Products JSC     727,675  
         
Shares
    Description   Value ($)  
          Vietnam — continued  
    778,900     Vietnam Joint Stock Commercial Bank for Industry and Trade     869,874  
    241,700     Vinhomes JSC     537,413  
    3,043,200     VNDirect Securities Corp     1,704,017  
     

 

 

 
    Total Vietnam     10,275,731  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $377,119,882)
    293,779,599  
     

 

 

 
          PREFERRED STOCKS (d) — 5.9%  
          Brazil — 5.8%  
    13,200     Banco do Estado do Rio Grande do Sul SA – Class B     25,361  
    245,520     Cia Energetica de Minas Gerais     543,145  
    60     Cia Energetica de Minas Gerais Sponsored ADR     131  
    248,900     Cia Paranaense de Energia – Class B     387,546  
    98,200     Gerdau SA     597,411  
    87,300     Gerdau SA Sponsored ADR     532,530  
    2,330,700     Petroleo Brasileiro SA     11,973,843  
    470,305     Petroleo Brasileiro SA Sponsored ADR            4,820,626  
    6,391     Unipar Carbocloro SA – Class B     119,683  
     

 

 

 
    Total Brazil     19,000,276  
     

 

 

 
          Chile — 0.0%  
    24,477     Embotelladora Andina SA – Class B     47,186  
     

 

 

 
          Russia — 0.1%  
    3,948,700     Surgutneftegas PJSC (b)     112,421  
    315     Transneft PJSC (b)     31,977  
     

 

 

 
    Total Russia     144,398  
     

 

 

 
          South Korea — 0.0%  
    75     LG H&H Co Ltd     15,895  
     

 

 

 
          Taiwan — 0.0%  
    224,635     China Development Financial Holding Corp     55,038  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $23,035,965)
    19,262,793  
     

 

 

 
          MUTUAL FUNDS — 3.8%  
          United States — 3.8%  
          Affiliated Issuers — 3.8%  
    2,514,425     GMO U.S. Treasury Fund     12,521,838  
     

 

 

 
    Total United States     12,521,838  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $12,521,838)
    12,521,838  
     

 

 

 
 


GMO Emerging Markets ex-China Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares /
Par Value†
    Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.5%  
          Money Market Funds — 0.5%  
    1,708,508     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (e)     1,708,508  
     

 

 

 
          U.S. Government — 0.0%  
    10,000     U.S. Treasury Bill, 4.04%, due 02/02/23 (f)     9,930  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $1,718,456)
    1,718,438  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $414,396,141)
    327,282,668  
    Other Assets and Liabilities (net) — 0.1%     362,243  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $327,644,911  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
November 30, 2022
 
Alrosa PJSC    10/18/21    $ 7,054,956      0.1%   $ 300,552  
Magnitogorsk Iron & Steel Works PJSC    10/18/21      4,011,995      0.0%     155,093  
PhosAgro PJSC GDR    10/18/21      2,465      0.0%     234  
Sberbank of Russia PJSC    10/18/21      16,614,391      0.2%     535,712  
Severstal PJSC GDR (Registered)    10/18/21      3,190,235      0.0%     127,290  
          

 

 

 
           $ 1,118,881  
          

 

 

 

 

Notes to Schedule of Investments:

 

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

 

*

Non-income producing security.

 

(a)

Investment valued using significant unobservable inputs.

 

(b)

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)

The security is restricted as to resale.

 

(d)

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

 

(e)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 

(f)

The rate shown represents yield-to-maturity.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

QPSC - Qatar Private Stock Company

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

 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
    COMMON STOCKS — 91.5%

 

          Brazil — 2.3%  
    99,000     Cia Brasileira de Aluminio     230,838  
    87,500     EDP – Energias do Brasil SA     357,800  
    366,386     Enauta Participacoes SA     946,086  
    38,100     Engie Brasil Energia SA     290,008  
    903,217     Localiza Rent a Car SA     10,460,528  
    2,771     Localiza Rent a Car SA GDR * (a)     32,092  
    919,300     Vale SA Sponsored ADR – Class B     15,168,450  
     

 

 

 
    Total Brazil            27,485,802  
     

 

 

 
          Chile — 0.1%  
    30,434     CAP SA     223,410  
    87,708     Cencosud Shopping SA     112,077  
    8,007,851     Colbun SA     712,472  
     

 

 

 
    Total Chile     1,047,959  
     

 

 

 
          China — 22.6%  
    2,476,000     361 Degrees International Ltd *     1,083,218  
    585,500     3SBio Inc     621,106  
    362,000     Agile Group Holdings Ltd * (b)     119,221  
    222,000     AK Medical Holdings Ltd     218,562  
    10,060,000     Alibaba Pictures Group Ltd *     547,373  
    806,500     A-Living Smart City Services Co Ltd     932,370  
    248,600     Anhui Expressway Co Ltd – Class A     249,853  
    354,000     Anhui Expressway Co Ltd – Class H     270,066  
    23,400     ANTA Sports Products Ltd     278,115  
    284,800     Autohome Inc – Class A (b)     2,117,421  
    373,300     Autohome Inc ADR     11,161,670  
    69,400     CanSino Biologics Inc – Class H     883,610  
    1,008,000     China BlueChemical Ltd – Class H     234,366  
    6,658,541     China Coal Energy Co Ltd – Class A     9,126,228  
    4,725,878     China Communications Services Corp Ltd – Class H     1,629,161  
    17,638,148     China Construction Bank Corp – Class H     10,674,605  
    2,665,000     China Dongxiang Group Co Ltd     110,548  
    947,000     China Education Group Holdings Ltd     1,013,082  
    399,000     China Everbright Environment Group Ltd     184,616  
    20,128,000     China Feihe Ltd     16,460,787  
    2,767,000     China Hongqiao Group Ltd     2,614,993  
    1,216,000     China Lesso Group Holdings Ltd     1,490,762  
    877,000     China Medical System Holdings Ltd     1,284,489  
    1,802,000     China Oriental Group Co Ltd     323,645  
    12,914,332     China Petroleum & Chemical Corp – Class A     8,206,648  
    310,000     China Resources Cement Holdings Ltd     167,086  
    710,000     China Resources Land Ltd     3,297,889  
    4,827,931     China Shenhua Energy Co Ltd – Class A     20,805,516  
    294,000     China Shenhua Energy Co Ltd – Class H     911,239  
    168,000     China State Construction International Holdings Ltd     202,865  
    889,000     China Suntien Green Energy Corp Ltd – Class H     367,621  
         
Shares
    Description   Value ($)  
          China — continued  
    177,481     China Tourism Group Duty Free Corp Ltd – Class A     4,980,685  
    992,000     China Traditional Chinese Medicine Holdings Co Ltd     497,371  
    732,000     China Yuhua Education Corp Ltd – Class L *     104,023  
    5,502,000     CIFI Holdings Group Co Ltd     831,187  
    2,585,500     COSCO Shipping Holdings Co Ltd – Class A     4,618,270  
    2,301,000     Country Garden Services Holdings Co Ltd     5,753,586  
    1,209,000     Dongyue Group Ltd     1,353,624  
    299,000     Fufeng Group Ltd     190,488  
    177,000     Greentown Management Holdings Co Ltd     155,904  
    198,000     Guangdong Investment Ltd     181,499  
    56,000     Haitian International Holdings Ltd     144,105  
    177,122     Hangzhou Robam Appliances Co Ltd – Class A     651,552  
    250,000     Hansoh Pharmaceutical Group Co Ltd     472,414  
    482,900     Hello Group Inc Sponsored ADR     2,771,846  
    83,500     Hengan International Group Co Ltd     384,889  
    228,300     Hopson Development Holdings Ltd     259,546  
    10,248,000     Hua Han Health Industry Holdings Ltd (c)     1  
    408,000     Huabao International Holdings Ltd (b)     216,823  
    250,800     Huayu Automotive Systems Co Ltd – Class A     653,642  
    26,375     HUTCHMED China Ltd ADR *     319,929  
    8,511,224     Inner Mongolia Eerduosi Resources Co Ltd – Class A            19,388,669  
    1,002,000     Inner Mongolia Yitai Coal Co Ltd – Class H     1,430,370  
    1,235,000     Jinxin Fertility Group Ltd     956,574  
    19,800     JOYY Inc ADR     603,108  
    354,500     Kingboard Laminates Holdings Ltd     374,308  
    25,749     Kweichow Moutai Co Ltd – Class A     5,802,745  
    407,000     KWG Group Holdings Ltd *     94,366  
    467,000     Lee & Man Paper Manufacturing Ltd     180,914  
    463,500     Longfor Group Holdings Ltd (b)     1,412,185  
    1,785,000     Lonking Holdings Ltd     319,121  
    128,800     Midea Group Co Ltd – Class A     876,411  
    1,066,000     Ming Yuan Cloud Group Holdings Ltd     820,215  
    1,324,000     MMG Ltd *     348,451  
    328,400     NetEase Inc     4,748,215  
    75,181     NetEase Inc ADR     5,346,873  
    660,000     Orient Overseas International Ltd     12,540,878  
    12,029,000     PICC Property & Casualty Co Ltd – Class H     12,186,667  
    945,374     Ping An Insurance Group Co of China Ltd – Class A     5,995,886  
    349,500     Ping An Insurance Group Co of China Ltd – Class H     2,157,814  
    4,348,400     Qingling Motors Co Ltd – Class H     528,776  
    1,138,000     Seazen Group Ltd *     509,925  
    165,800     Shandong Publishing & Media Co Ltd – Class A     150,566  
    462,400     Shandong Weigao Group Medical Polymer Co Ltd – Class H     671,316  
    87,989     Shanghai Waigaoqiao Free Trade Zone Group Co Ltd – Class A     156,746  
    1,201,681     Shenzhen YUTO Packaging Technology Co Ltd – Class A     5,547,782  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          China — continued  
    582,000     Shougang Fushan Resources Group Ltd     197,342  
    2,000,500     Sinopec Engineering Group Co Ltd – Class H     822,620  
    1,510,000     Sinotruk Hong Kong Ltd     1,981,967  
    1,489,000     Sunac China Holdings Ltd * (a)     873,085  
    144,000     Sunac Services Holdings Ltd (b)     59,791  
    645,400     Sunny Optical Technology Group Co Ltd     7,683,395  
    631,065     Tencent Holdings Ltd            23,864,539  
    155,300     Tencent Holdings Ltd ADR (b)     5,868,787  
    252,000     Tianneng Power International Ltd     272,181  
    417,000     Topsports International Holdings Ltd     265,331  
    591,631     Vipshop Holdings Ltd ADR *     6,596,686  
    290,000     Want Want China Holdings Ltd     196,775  
    124,000     Wharf Holdings Ltd (The)     334,172  
    999,400     Xiaomi Corp – Class B *     1,320,429  
    204,400     Xinhua Winshare Publishing and Media Co Ltd – Class A     299,768  
    779,500     Xtep International Holdings Ltd     895,984  
    258,000     Yadea Group Holdings Ltd     489,476  
    1,519,815     Yankuang Energy Group Co Ltd – Class A     8,695,305  
    258,000     Yankuang Energy Group Co Ltd – Class H     866,286  
    1,252,000     Zhejiang Expressway Co Ltd – Class H     934,944  
    37,507     Zhejiang Supor Co Ltd – Class A     242,322  
    789,400     Zoomlion Heavy Industry Science and Technology Co Ltd – Class H     366,860  
     

 

 

 
    Total China     268,407,041  
     

 

 

 
          Colombia — 0.0%      
    469,783     Ecopetrol SA     222,826  
     

 

 

 
          Czech Republic — 0.1%      
    402,616     Moneta Money Bank AS     1,238,422  
    745     Philip Morris CR AS     540,291  
     

 

 

 
    Total Czech Republic     1,778,713  
     

 

 

 
          Egypt — 0.1%      
    444,984     Commercial International Bank Egypt SAE     729,309  
     

 

 

 
          Greece — 0.0%      
    12,682     JUMBO SA     202,544  
    9,006     Motor Oil Hellas Corinth Refineries SA     181,796  
     

 

 

 
    Total Greece     384,340  
     

 

 

 
          Hungary — 1.6%      
    130,081     Magyar Telekom Telecommunications Plc     109,980  
    222,820     MOL Hungarian Oil & Gas Plc     1,613,084  
    595,318     OTP Bank Nyrt     16,413,962  
    31,501     Richter Gedeon Nyrt     677,661  
     

 

 

 
    Total Hungary     18,814,687  
     

 

 

 
          India — 7.4%      
    205,098     Asian Paints Ltd     8,026,342  
    703,602     Axis Bank Ltd     7,806,200  
         
Shares
    Description   Value ($)  
          India — continued      
    39,571     Balrampur Chini Mills Ltd     187,176  
    110,764     Castrol India Ltd     178,840  
    92,716     City Union Bank Ltd     217,812  
    976     Clean Science & Technology Ltd     18,102  
    68,208     Coal India Ltd     192,668  
    60,707     Cochin Shipyard Ltd     499,916  
    17,236     Colgate-Palmolive India Ltd     345,458  
    34,439     Coromandel International Ltd     394,605  
    27,653     Deepak Fertilisers & Petrochemicals Corp Ltd     276,572  
    19,887     EID Parry India Ltd     148,466  
    93,157     Exide Industries Ltd     217,212  
    11,221,529     Gayatri Projects Ltd * (d)     1,278,690  
    38,858     GHCL Ltd     277,681  
    34,544     Great Eastern Shipping Co Ltd (The)     284,067  
    80,321     Gujarat Mineral Development Corp Ltd     156,608  
    164,312     Gujarat State Fertilizers & Chemicals Ltd     268,198  
    148,267     HCL Technologies Ltd     2,060,234  
    181,064     HDFC Bank Ltd     3,598,748  
    158,429     Hindustan Zinc Ltd     601,036  
    200,845     Housing Development Finance Corp Ltd     6,679,678  
    1,066,601     ICICI Bank Ltd            12,491,703  
    608,400     Infosys Ltd Sponsored ADR     12,380,940  
    1,054,022     Kiri Industries Ltd *     6,445,265  
    315,542     L&T Finance Holdings Ltd     340,121  
    142,751     Larsen + Toubro Infotech Ltd (a)     8,586,516  
    19,259     Mahanagar Gas Ltd     214,434  
    536,668     Manappuram Finance Ltd     763,784  
    307,766     NCC Ltd     314,609  
    92,024     Oil India Ltd     233,654  
    7,091     Oracle Financial Services Software Ltd     272,582  
    546,410     Petronet LNG Ltd     1,433,450  
    9,504     PI Industries Ltd     410,211  
    6,504     Polyplex Corp Ltd     144,151  
    160,678     Redington Ltd     358,561  
    913     Shriram Transport Finance Co Ltd     15,213  
    112,841     Sun TV Network Ltd     686,378  
    248,783     Titan Co Ltd     8,177,986  
    49,711     Welspun Corp Ltd     154,432  
     

 

 

 
    Total India     87,138,299  
     

 

 

 
          Indonesia — 4.0%      
    27,417,200     Adaro Energy Indonesia Tbk PT     6,784,973  
    2,393,700     Adaro Minerals Indonesia Tbk PT *     248,020  
    30,524,500     Bank Central Asia Tbk PT     18,133,951  
    5,749,500     Bank Mandiri Persero Tbk PT     3,878,391  
    4,913,200     Bank Negara Indonesia Persero Tbk PT     3,112,465  
    10,241,900     Bank Pembangunan Daerah Jawa Timur Tbk PT     475,772  
    29,762,800     Bank Rakyat Indonesia Persero Tbk PT     9,467,929  
    6,394,500     Bukit Asam Tbk PT     1,551,500  
    60,300     Gudang Garam Tbk PT     76,470  
    622,691     Indo Tambangraya Megah Tbk PT     1,658,479  
    19,696,600     Panin Financial Tbk PT     592,726  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Indonesia — continued      
    883,300     Tower Bersama Infrastructure Tbk PT     130,264  
    444,500     United Tractors Tbk PT     874,306  
     

 

 

 
    Total Indonesia            46,985,246  
     

 

 

 
          Kuwait — 0.1%      
    56,336     Humansoft Holding Co KSC     615,911  
     

 

 

 
          Malaysia — 0.1%      
    1,058,600     Hartalega Holdings Bhd     414,104  
    1,291,200     Hibiscus Petroleum Bhd     323,649  
    1,240,300     Kossan Rubber Industries Bhd     311,084  
    254,600     RHB Bank Bhd     322,513  
     

 

 

 
    Total Malaysia     1,371,350  
     

 

 

 
          Mexico — 6.3%      
    4,912,000     America Movil SAB de CV – Series L     4,773,505  
    426,536     America Movil SAB de CV – Class L Sponsored ADR     8,300,390  
    308,100     Banco del Bajio SA     1,001,077  
    59,300     Cemex SAB de CV Sponsored ADR *     271,001  
    90,100     Concentradora Fibra Danhos SA de CV (REIT)     109,041  
    315,700     Credito Real SAB de CV SOFOM ER * (c)      
    100     Fomento Economico Mexicano SAB de CV Sponsored ADR     7,987  
    373,300     Grupo Aeroportuario del Pacifico SAB de CV – Class B     6,063,465  
    122,639     Grupo Aeroportuario del Sureste SAB de CV – Class B     3,041,503  
    13,600     Grupo Aeroportuario del Sureste SAB de CV ADR     3,363,144  
    4,612,296     Grupo Financiero Banorte SAB de CV – Class O     37,017,417  
    444,000     Grupo Mexico SAB de CV – Series B     1,806,468  
    565,900     Grupo Televisa SAB     623,270  
    360,300     Grupo Televisa SAB Sponsored ADR     1,967,238  
    167,100     Regional SAB de CV     1,220,036  
    187,181     Sitios Latinoamerica SAB de CV *     83,433  
    1,336,400     Wal-Mart de Mexico SAB de CV     5,281,461  
     

 

 

 
    Total Mexico     74,930,436  
     

 

 

 
          Panama — 0.0%      
    1,591,142     BAC Holding International Corp *     90,960  
     

 

 

 
          Philippines — 0.3%      
    2,534,500     Converge Information and Communications Technology Solutions Inc *     698,054  
    148,630     GT Capital Holdings Inc     1,158,326  
    16,607,800     Megaworld Corp     660,826  
    1,435,900     Puregold Price Club Inc     905,125  
     

 

 

 
    Total Philippines     3,422,331  
     

 

 

 
          Poland — 1.0%      
    112,197     Bank Polska Kasa Opieki SA     2,146,123  
         
Shares
    Description   Value ($)  
          Poland — continued      
    24,738     Budimex SA     1,513,368  
    37,495     KGHM Polska Miedz SA     992,554  
    138,622     Orange Polska SA     195,238  
    489,157     Polski Koncern Naftowy ORLEN SA     7,199,998  
     

 

 

 
    Total Poland            12,047,281  
     

 

 

 
          Qatar — 0.7%      
    1,465,741     Qatar National Bank QPSC     7,924,426  
    515,825     Qatar National Cement Co QSC     652,288  
     

 

 

 
    Total Qatar     8,576,714  
     

 

 

 
          Russia — 1.5%      
    31,701,260     Alrosa PJSC * (c) (e)     2,360,724  
    380,350     Detsky Mir PJSC * (c)     30,435  
    39,977     Evraz Plc (c)     986  
    1,432,600,000     Federal Grid Co Unified Energy System
PJSC * (c)
    141,816  
    653,911     Fix Price Group Ltd GDR * (c)     161,696  
    219,070     Gazprom Neft PJSC (c)     117,528  
    1,250,860     Gazprom PJSC (c)     240,620  
    575,658     Globaltrans Investment Plc Sponsored GDR (Registered) * (c)     213,794  
    78,536,400     Inter RAO UES PJSC * (c)     295,485  
    239,440     LSR Group PJSC – Class A * (c)     128,703  
    3     LSR Group PJSC GDR (Registered) (c)      
    285,469     LUKOIL PJSC (c)     1,505,630  
    17,490,987     Magnitogorsk Iron & Steel Works PJSC * (c) (e)     626,881  
    474,800     Mechel PJSC * (c)     55,280  
    37,212     MMC Norilsk Nickel PJSC (c)     609,710  
    5     MMC Norilsk Nickel PJSC ADR * (c)     8  
    249,660     Mobile TeleSystems PJSC (c)     67,428  
    35,508     Mobile TeleSystems PJSC ADR * (c)     19,219  
    4,133,417     Moscow Exchange MICEX-RTS PJSC * (c)     411,499  
    10,015,560     Novolipetsk Steel PJSC * (c)     1,217,328  
    11,924     PhosAgro PJSC (c)     87,947  
    230     PhosAgro PJSC GDR * (c) (e)     567  
    916,204     Polymetal International Plc *     2,656,774  
    80,094     Polyus PJSC * (c)     661,489  
    24,938,000     RusHydro PJSC * (c)     21,572  
    13,125,612     Sberbank of Russia PJSC * (c) (e)     2,040,240  
    706,464     Severstal PJSC GDR (Registered) * (c) (e)     639,553  
    68,353     SFI PJSC * (c)     35,737  
    63,500,900     Surgutneftegas PJSC (c)     1,573,345  
    2,860,038     Tatneft PJSC (c)     1,194,491  
    8,118,000     Unipro PJSC (c)     12,897  
    556,430     United Co Rusal International PJSC (c)     24,449  
    46,698     X5 Retail Group NV GDR (Registered) (c)     53,606  
     

 

 

 
    Total Russia     17,207,437  
     

 

 

 
          South Africa — 4.0%      
    108,697     Anglo American Platinum Ltd     10,986,506  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          South Africa — continued      
    20,722     Aspen Pharmacare Holdings Ltd     171,960  
    64,589     AVI Ltd     277,118  
    34,828     Capitec Bank Holdings Ltd     4,134,956  
    29,563     Exxaro Resources Ltd     386,686  
    1,046,169     FirstRand Ltd     4,065,908  
    147,771     Foschini Group Ltd (The)     900,878  
    234,612     Impala Platinum Holdings Ltd     2,851,376  
    177,527     Investec Ltd     1,071,496  
    324,734     Kumba Iron Ore Ltd     9,174,120  
    413,419     Lewis Group Ltd     1,190,383  
    186,758     Mr Price Group Ltd     1,825,333  
    309,016     Ninety One Ltd     721,721  
    1,733,601     Old Mutual Ltd     1,113,620  
    320,809     Sanlam Ltd     1,053,391  
    601,219     Sibanye Stillwater Ltd     1,672,842  
    256,200     Sibanye Stillwater Ltd ADR     2,872,002  
    69,352     Thungela Resources Ltd     1,265,898  
    97,109     Tiger Brands Ltd     1,095,411  
    67,897     Truworths International Ltd     224,939  
    130,485     Vodacom Group Ltd     950,309  
     

 

 

 
    Total South Africa            48,006,853  
     

 

 

 
          South Korea — 14.0%      
    12,238     AfreecaTV Co Ltd     818,832  
    17,324     Alteogen Inc *     481,423  
    12,256     AMOREPACIFIC Group     294,122  
    1,664     BGF retail Co Ltd     261,144  
    18,963     BH Co Ltd     383,228  
    12,869     Cheil Worldwide Inc     238,691  
    2,984     CJ ENM Co Ltd     189,604  
    3,023     CJ Logistics Corp *     202,626  
    25,747     Daeduck Electronics Co Ltd     463,717  
    3,687     Daou Data Corp     79,372  
    80,408     DB HiTek Co Ltd     2,789,348  
    21,660     DB Insurance Co Ltd     1,029,536  
    2,207     DL E&C Co Ltd     71,278  
    492,446     Dongwon Development Co Ltd     1,352,488  
    1,575     Green Cross Corp     154,055  
    31,586     GS Engineering & Construction Corp     571,265  
    3,234     HAESUNG DS Co Ltd     106,062  
    8,983     Hankook Tire & Technology Co Ltd     234,609  
    111,481     HDC Hyundai Development Co-Engineering & Construction (b)     948,071  
    108,024     Hyundai Engineering & Construction Co Ltd     3,414,574  
    7,730     Hyundai Glovis Co Ltd     1,048,644  
    20,791     Hyundai Marine & Fire Insurance Co Ltd     479,581  
    51,919     Hyundai Mobis Co Ltd     8,498,025  
    8,438     INTOPS Co Ltd     195,102  
    196,537     Kia Corp     10,350,405  
    1,295     Korea Petrochemical Ind Co Ltd     161,538  
    532,964     KT&G Corp (b)     40,440,819  
    80,649     Kumho Petrochemical Co Ltd     9,276,930  
         
Shares
    Description   Value ($)  
          South Korea — continued      
    5,105     LG H&H Co Ltd     2,576,183  
    3,768     LOTTE Fine Chemical Co Ltd     180,483  
    78,119     LX Semicon Co Ltd (b)     5,330,302  
    7,829     Meritz Financial Group Inc     228,100  
    56,342     Meritz Securities Co Ltd     253,436  
    10,773     NCSoft Corp     3,902,587  
    20,549     NH Investment & Securities Co Ltd     151,662  
    3,052     Orion Corp     274,062  
    13,568     POSCO Holdings Inc     3,105,717  
    22,705     Samsung Electro-Mechanics Co Ltd     2,485,466  
    703,338     Samsung Electronics Co Ltd     33,794,654  
    20,831     Samsung SDS Co Ltd     2,035,442  
    10,912     Samsung Securities Co Ltd     295,303  
    156,225     SD Biosensor Inc     3,952,459  
    85,933     Seegene Inc     2,011,488  
    2,942     SK Chemicals Co Ltd     200,860  
    44,114     SK Hynix Inc     2,911,523  
    2,746     Unid Co Ltd     206,960  
    4,307     UNIDBTPLUS Co Ltd *     20,768  
    1,573,353     Woori Financial Group Inc            15,717,696  
    393,848     Woori Technology Investment Co Ltd *     1,361,980  
     

 

 

 
    Total South Korea     165,532,220  
     

 

 

 
          Sri Lanka — 0.0%      
    103,983,101     Anilana Hotels & Properties Ltd * (a) (d)     253,961  
     

 

 

 
          Taiwan — 19.8%      
    994,035     Advantech Co Ltd     10,820,399  
    148,000     Asia Cement Corp     198,870  
    23,000     ASMedia Technology Inc     551,455  
    50,000     ASROCK Inc     214,510  
    776,689     Asustek Computer Inc     6,751,058  
    350,000     Aten International Co Ltd     878,401  
    100,200     Aurora Corp     255,429  
    2,333,000     Catcher Technology Co Ltd     13,916,425  
    2,578,153     Cathay Financial Holding Co Ltd     3,668,861  
    413,948     Chailease Holding Co Ltd     2,732,215  
    111,000     Chicony Electronics Co Ltd     300,691  
    91,000     Chipbond Technology Corp     172,965  
    200,000     ChipMOS Technologies Inc     220,575  
    456,000     Chong Hong Construction Co Ltd     1,065,665  
    39,000     Chroma ATE Inc     254,436  
    776,400     Coretronic Corp     1,470,053  
    284,000     Co-Tech Development Corp     500,817  
    70,000     Elan Microelectronics Corp     205,883  
    380,000     Elite Semiconductor Microelectronics Technology Inc     917,787  
    2,835,200     Evergreen Marine Corp Taiwan Ltd     15,221,479  
    156,000     Far Eastern New Century Corp     165,113  
    769,000     Farglory Land Development Co Ltd     1,364,991  
    427,000     First Financial Holding Co Ltd     364,478  
    132,000     FLEXium Interconnect Inc *     461,100  
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Taiwan — continued      
    238,000     Formosa Plastics Corp     698,079  
    446,778     Foxconn Technology Co Ltd     759,432  
    6,048,489     Fubon Financial Holding Co Ltd     12,013,621  
    160,000     Gigabyte Technology Co Ltd     570,247  
    1,551,000     Grand Pacific Petrochemical     1,053,084  
    363,000     HannStar Display Corp     135,790  
    96,000     Holtek Semiconductor Inc     223,856  
    1,819,532     Hon Hai Precision Industry Co Ltd     5,957,668  
    463,000     Huaku Development Co Ltd     1,339,461  
    34,000     International Games System Co Ltd     431,819  
    253,000     Inventec Corp     204,158  
    17,000     King Slide Works Co Ltd     229,135  
    204,000     Kung Long Batteries Industrial Co Ltd     913,736  
    281,000     Largan Precision Co Ltd            21,172,142  
    2,197,000     Lite-On Technology Corp     4,688,724  
    35,000     Makalot Industrial Co Ltd     266,460  
    51,000     MediaTek Inc     1,232,354  
    2,804,000     Micro-Star International Co Ltd     11,300,367  
    426,000     Mitac Holdings Corp     412,584  
    332,000     Nantex Industry Co Ltd     419,814  
    1,580,000     Nanya Technology Corp     2,948,472  
    1,330,810     Novatek Microelectronics Corp     13,039,638  
    927,000     Phison Electronics Corp     9,955,942  
    62,000     Powertech Technology Inc     169,094  
    414,000     Primax Electronics Ltd     781,213  
    434,936     Radiant Opto-Electronics Corp     1,487,431  
    36,000     Raydium Semiconductor Corp     368,395  
    64,000     Realtek Semiconductor Corp     665,340  
    137,000     Shanghai Commercial & Savings Bank Ltd (The)     226,383  
    406,000     Shinkong Insurance Co Ltd     656,924  
    174,468     Simplo Technology Co Ltd     1,728,898  
    15,000     Sinbon Electronics Co Ltd     132,501  
    36,000     Soft-World International Corp     91,121  
    18,000     Sporton International Inc     121,409  
    735,250     Syncmold Enterprise Corp     1,401,844  
    94,000     Synnex Technology International Corp     178,753  
    77,000     T3EX Global Holdings Corp     198,948  
    88,024     Tah Hsin Industrial Corp     201,241  
    31,000     TaiDoc Technology Corp     185,564  
    47,000     Taiwan Hon Chuan Enterprise Co Ltd     123,308  
    1,159,000     Taiwan Semiconductor Manufacturing Co Ltd     18,613,365  
    230,632     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR     19,137,843  
    225,000     Taiwan Union Technology Corp     421,610  
    61,000     Test Research Inc     130,435  
    24,000     Topkey Corp     133,180  
    616,000     Transcend Information Inc     1,356,464  
    330,160     Tripod Technology Corp     1,042,295  
    47,000     TXC Corp     128,406  
    276,224     United Integrated Services Co Ltd     1,614,781  
    585,000     Universal Inc     468,304  
    56,000     Walsin Technology Corp     160,504  
         
Shares
    Description   Value ($)  
          Taiwan — continued      
    2,553,750     Wan Hai Lines Ltd     6,394,163  
    160,000     Wistron Corp     143,722  
    28,000     Yageo Corp     425,696  
    9,834,000     Yang Ming Marine Transport Corp            21,394,989  
    78,000     Yulon Nissan Motor Co Ltd     532,941  
    234,725     Zeng Hsing Industrial Co Ltd     890,864  
     

 

 

 
    Total Taiwan     234,348,168  
     

 

 

 
          Thailand — 0.7%      
    559,400     CP ALL Pcl (Foreign Registered)     1,035,695  
    300,800     Kasikornbank Pcl (Foreign Registered)     1,239,478  
    2,630,100     Pruksa Holding Pcl (Foreign Registered)     905,380  
    765,000     PTT Exploration & Production Pcl     4,078,990  
    183,100     Regional Container Lines Pcl NVDR     157,007  
    669,000     Sri Trang Gloves Thailand Pcl (Foreign Registered)     190,336  
    356,300     Sri Trang Gloves Thailand Pcl NVDR     101,370  
    124,600     Tisco Financial Group Pcl NVDR     345,644  
     

 

 

 
    Total Thailand     8,053,900  
     

 

 

 
          Turkey — 0.5%      
    5,097,538     Akbank TAS     4,768,191  
    685,259     Enerjisa Enerji AS     1,069,890  
    79,882     Is Yatirim Menkul Degerler AS     204,748  
    16,090     Mavi Giyim Sanayi Ve Ticaret AS – Class B     98,660  
    142,567     Vestel Beyaz Esya Sanayi ve Ticaret AS     97,431  
     

 

 

 
    Total Turkey     6,238,920  
     

 

 

 
          United Kingdom — 1.0%      
    226,263     Unilever Plc     11,313,404  
     

 

 

 
          Vietnam — 3.3%      
    2,572,900     Duc Giang Chemicals JSC     6,423,778  
    4,188,200     Hoa Phat Group JSC     3,151,689  
    2,600,100     Hoa Sen Group *     1,199,472  
    1,414,400     IDICO Corp JSC     2,072,252  
    2,671,400     Nam Kim Steel JSC     1,203,120  
    48,200     PetroVietnam Technical Services Corp     41,590  
    173,000     Pha Lai Thermal Power JSC     93,587  
    4,297,970     Saigon – Hanoi Commercial Joint Stock Bank *     1,783,504  
    7,874,700     SSI Securities Corp     6,229,974  
    1,519,800     Vietnam Dairy Products JSC     5,127,121  
    2,768,900     Vietnam Joint Stock Commercial Bank for Industry and Trade     3,092,301  
    132,600     Vinhomes JSC     294,832  
    15,246,800     VNDirect Securities Corp     8,537,332  
     

 

 

 
    Total Vietnam     39,250,552  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,554,663,331)
    1,084,254,620  
     

 

 

 
 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          PREFERRED STOCKS (f) — 5.6%  
          Brazil — 3.4%  
    90,300     Banco do Estado do Rio Grande do Sul SA – Class B     173,488  
    1     Cia Energetica de Minas Gerais     2  
    362,800     Gerdau SA     2,207,135  
    781,200     Gerdau SA Sponsored ADR     4,765,320  
    6,364,700     Petroleo Brasileiro SA     32,698,296  
    59,900     Petroleo Brasileiro SA Sponsored ADR     613,975  
    8,099     Unipar Carbocloro SA – Class B     151,669  
     

 

 

 
    Total Brazil            40,609,885  
     

 

 

 
          Russia — 0.2%      
    194,570     Nizhnekamskneftekhim PJSC (c)     15,694  
    79,676,700     Surgutneftegas PJSC (c)     2,268,420  
    869     Transneft PJSC (c)     88,217  
     

 

 

 
    Total Russia            2,372,331  
     

 

 

 
          South Korea — 1.9%      
    237     LG H&H Co Ltd     50,227  
    531,957     Samsung Electronics Co Ltd     22,875,030  
     

 

 

 
    Total South Korea     22,925,257  
     

 

 

 
          Taiwan — 0.1%      
    256,798     Chailease Holding Co Ltd     803,183  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $108,722,046)
    66,710,656  
     

 

 

 
     Shares /
Par Value†
    Description   Value ($)  
          DEBT OBLIGATIONS — 0.4%  
          United States — 0.4%  
    4,800,000     U.S. Treasury Note, Variable Rate, USBM + 0.03%, 4.37%, due 04/30/23 (g)     4,804,121  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $4,800,739)
    4,804,121  
     

 

 

 
          MUTUAL FUNDS — 0.4%  
          United States — 0.4%  
          Affiliated Issuers — 0.4%  
    914,720     GMO U.S. Treasury Fund     4,555,303  
     

 

 

 
    Total United States     4,555,303  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $4,555,303)
    4,555,303  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.6%  
          Money Market Funds — 0.6%  
    7,331,552     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (h)     7,331,552  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $7,331,552)
    7,331,552  
     

 

 

 
    TOTAL INVESTMENTS — 98.5%
(Cost $1,680,072,971)
    1,167,656,252  
    Other Assets and Liabilities (net) — 1.5%     17,844,748  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,185,501,000  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
November 30, 2022
 
Alrosa PJSC    09/14/17    $ 46,779,239      0.2%   $ 2,360,724  
Magnitogorsk Iron & Steel Works PJSC    03/26/18      14,388,116      0.1%     626,881  
PhosAgro PJSC GDR    02/09/22      5,151      0.0%     567  
Sberbank of Russia PJSC    11/10/17      51,393,929      0.2%     2,040,240  
Severstal PJSC GDR (Registered)    10/12/17      13,249,420      0.1%     639,553  
          

 

 

 
           $ 5,667,965  
          

 

 

 


GMO Emerging Markets Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Futures Contracts

 

Number
of
Contracts +
  Type  

Expiration
Date

  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
1,253   Mini MSCI
Emerging
Markets
  December 2022   $ 61,553,625     $ 336,880  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

As of November 30 2022, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

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

 

*

Non-income producing security.

 

(a)

Investment valued using significant unobservable inputs.

 

(b)

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

 

(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)

Affiliated company.

 

 

(e)

The security is restricted as to resale.

 

(f)

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

 

(g)

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.

 

(h)

The rate disclosed is the 7 day net yield as of November 30, 2022.

Portfolio Abbreviations:

ADR - American Depositary Receipt

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

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

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

 

 

The rates shown on variable rate notes are the current interest rates at November 30, 2022, which are subject to change based on the terms of the security.

 


GMO Emerging Markets Select Equity Fund (formerly GMO Emerging Domestic Opportunities Fund)

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description   Value ($)  
    COMMON STOCKS — 92.1%

 

          Brazil — 1.9%  
    146,300     Ambev SA     448,822  
    188,000     B3 SA – Brasil Bolsa Balcao     461,183  
    34,600     Localiza Rent a Car SA     400,717  
    112     Localiza Rent a Car SA GDR * (a)     1,297  
    671     MercadoLibre Inc *     624,691  
    96,500     Raia Drogasil SA     428,633  
    65,500     WEG SA     492,258  
     

 

 

 
    Total Brazil     2,857,601  
     

 

 

 
          China — 29.3%  
    528,388     Alibaba Group Holding Ltd *     5,750,528  
    79,100     Baidu Inc – Class A *     1,067,503  
    30,000     BYD Co Ltd – Class H     763,794  
    36,677     Changzhou Xingyu Automotive Lighting Systems Co Ltd – Class A     681,576  
    1,080,000     China International Capital Corp Ltd – Class H     2,037,163  
    190,000     China Mengniu Dairy Co Ltd *     854,558  
    369,502     China Merchants Bank Co Ltd – Class H     1,876,719  
    92,000     China Resources Land Ltd     427,332  
    198,900     China Yangtze Power Co Ltd – Class A     591,984  
    5,500     Contemporary Amperex Technology Co Ltd – Class A     301,308  
    248,700     GoerTek Inc – Class A     638,350  
    445,455     Haier Smart Home Co Ltd – Class A     1,545,942  
    122,327     JD.com Inc – Class A     3,492,163  
    14,500     JD.com Inc ADR     829,110  
    92,576     Jiangsu Hengli Hydraulic Co Ltd – Class A     857,122  
    14,386     Kweichow Moutai Co Ltd – Class A     3,242,001  
    86,400     Meituan – Class B *     1,862,529  
    203,285     NARI Technology Co Ltd – Class A     761,674  
    73,675     NetEase Inc     1,065,240  
    170,500     Ping An Insurance Group Co of China Ltd –Class H     1,052,667  
    2,287,000     Postal Savings Bank of China Co Ltd – Class H     1,383,117  
    39,060     Proya Cosmetics Co Ltd – Class A     931,061  
    152,100     SF Holding Co Ltd – Class A     1,141,414  
    118,178     Shanghai Baosight Software Co Ltd – Class A     654,984  
    100,272     Shenzhen Inovance Technology Co Ltd – Class A     997,073  
    47,800     Sunny Optical Technology Group Co Ltd     569,052  
    128,584     Tencent Holdings Ltd     4,862,570  
    192,000     Tsingtao Brewery Co Ltd – Class H     1,817,574  
    72,385     Wuliangye Yibin Co Ltd – Class A     1,610,462  
    7,711     Yum China Holdings Inc     425,030  
     

 

 

 
    Total China          44,091,600  
     

 

 

 
          France — 0.8%  
    3,148     L’Oreal SA     1,182,250  
     

 

 

 
          Hong Kong — 1.2%  
    178,000     AIA Group Ltd     1,807,520  
     

 

 

 
Shares     Description   Value ($)  
          India — 14.0%  
    34,794     Angel One Ltd     690,559  
    18,664     Asian Paints Ltd     730,400  
    80,652     Axis Bank Ltd     894,804  
    48,597     Bharti Airtel Ltd     509,079  
    187,000     Campus Activewear Ltd *     1,027,873  
    73,300     Cipla Ltd     1,034,174  
    176,113     Devyani International Ltd *     408,913  
    72,116     Godrej Consumer Products Ltd *     785,280  
    36,142     HDFC Bank Ltd     718,342  
    209,791     ICICI Bank Ltd     2,457,008  
    206,315     Indian Hotels Co Ltd     822,241  
    69,417     Infosys Ltd     1,414,459  
    31,541     JB Chemicals & Pharmaceuticals Ltd     781,734  
    46,206     Kajaria Ceramics Ltd     651,220  
    99,769     LA Opala RG Ltd     504,314  
    77,480     Laxmi Organic Industries Ltd     287,068  
    6,913     Maruti Suzuki India Ltd     765,722  
    110,740     Metro Brands Ltd     1,136,531  
    74,080     SBI Cards & Payment Services Ltd     753,433  
    61,847     SBI Life Insurance Co Ltd     980,342  
    23,974     SRF Ltd     701,446  
    34,490     Star Health & Allied Insurance Co Ltd *     273,626  
    123,868     State Bank of India     921,443  
    55,721     Sun Pharmaceutical Industries Ltd     723,438  
    38,571     Sundram Fasteners Ltd     434,228  
    17,644     Titan Co Ltd     579,993  
     

 

 

 
    Total India          20,987,670  
     

 

 

 
          Indonesia — 5.4%  
    4,024,300     Bank Central Asia Tbk PT     2,390,750  
    3,663,600     Bank Mandiri Persero Tbk PT     2,471,323  
    16,078,700     Mitra Adiperkasa Tbk PT *     1,486,516  
    7,121,300     Telkom Indonesia Persero Tbk PT     1,837,116  
     

 

 

 
    Total Indonesia     8,185,705  
     

 

 

 
          Japan — 0.6%  
    5,600     Daikin Industries Ltd     923,557  
     

 

 

 
          Mexico — 5.3%  
    482,343     Banco del Bajio SA     1,567,227  
    77,439     Grupo Aeroportuario del Pacifico SAB de CV – Class B     1,257,832  
    244,987     Regional SAB de CV     1,788,707  
    843,048     Wal-Mart de Mexico SAB de CV     3,331,731  
     

 

 

 
    Total Mexico     7,945,497  
     

 

 

 
          Peru — 0.3%  
    3,320     Credicorp Ltd     509,786  
     

 

 

 
          Philippines — 0.2%  
    8,335     Globe Telecom Inc     340,195  
     

 

 

 
 


GMO Emerging Markets Select Equity Fund (formerly GMO Emerging Domestic Opportunities Fund)

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description   Value ($)  
          Qatar — 1.1%  
    296,728     Qatar National Bank QPSC     1,604,239  
     

 

 

 
          Russia — 0.4%  
    34,988     Magnit PJSC (b)     192,441  
    546,960     Mobile TeleSystems PJSC (b)     147,722  
    530,016     Sberbank of Russia PJSC * (b) (c)     82,385  
    46,548     TCS Group Holding Plc GDR (Registered) * (b)     159,372  
    69,200     Yandex NV – Class A * (b)     13,107  
     

 

 

 
    Total Russia     595,027  
     

 

 

 
          Saudi Arabia — 0.8%  
    12,222     Abdullah Al Othaim Markets Co     375,448  
    8,577     Mouwasat Medical Services Co     433,684  
    32,305     Saudi National Bank (The)     444,804  
     

 

 

 
    Total Saudi Arabia     1,253,936  
     

 

 

 
          South Africa — 1.0%  
    30,294     Absa Group Ltd     363,262  
    46,751     Aspen Pharmacare Holdings Ltd     387,960  
    22,442     Mr Price Group Ltd     219,344  
    38,681     MTN Group Ltd     316,977  
    89,555     Raubex Group Ltd     144,283  
     

 

 

 
    Total South Africa     1,431,826  
     

 

 

 
          South Korea — 7.3%  
    1,275     LG Chem Ltd     727,810  
    2,440     NAVER Corp     354,687  
    199,988     Samsung Electronics Co Ltd     9,609,214  
    3,565     SK Hynix Inc     235,290  
     

 

 

 
    Total South Korea          10,927,001  
     

 

 

 
          Switzerland — 1.1%  
    13,910     Nestle SA (Registered)     1,655,617  
     

 

 

 
          Taiwan — 13.8%  
    36,000     Allied Supreme Corp     382,439  
    710,000     Continental Holdings Corp     691,949  
    1,767,000     CTBC Financial Holding Co Ltd     1,327,367  
    59,000     Delta Electronics Inc     583,434  
    89,000     E Ink Holdings Inc     533,655  
    1,298,722     E.Sun Financial Holding Co Ltd     1,049,248  
    25,000     eMemory Technology Inc     1,220,100  
    26,000     MediaTek Inc     628,259  
    60,000     Sinbon Electronics Co Ltd     530,004  
    770,800     Taiwan Semiconductor Manufacturing Co Ltd     12,378,932  
    74,000     Vanguard International Semiconductor Corp     200,955  
    78,000     VisEra Technologies Co Ltd     612,567  
    12,000     Voltronic Power Technology Corp     681,052  
     

 

 

 
    Total Taiwan     20,819,961  
     

 

 

 
Shares     Description   Value ($)  
          Thailand — 2.1%  
    172,700     Advanced Info Service Pcl (Foreign Registered)     928,231  
    688,600     CP ALL Pcl (Foreign Registered)     1,274,901  
    2,654,300     Digital Telecommunications Infrastructure Fund – Class F     987,087  
     

 

 

 
    Total Thailand            3,190,219  
     

 

 

 
          United Arab Emirates — 0.6%  
    168,804     Abu Dhabi Commercial Bank PJSC     450,418  
    373,701     Aldar Properties PJSC     485,052  
     

 

 

 
    Total United Arab Emirates     935,470  
     

 

 

 
          United Kingdom — 1.7%  
    25,044     Diageo Plc     1,156,582  
    26,435     Unilever Plc     1,321,780  
     

 

 

 
    Total United Kingdom     2,478,362  
     

 

 

 
          United States — 1.5%  
    7,404     Alphabet, Inc. – Class A *     747,730  
    7,712     Apple, Inc.     1,141,607  
    148,800     Samsonite International SA *     403,339  
     

 

 

 
    Total United States     2,292,676  
     

 

 

 
          Vietnam — 1.7%  
    771,900     Bank for Foreign Trade of Vietnam JSC     2,554,509  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $181,816,266)
    138,570,224  
     

 

 

 
          PREFERRED STOCKS (d) — 0.4%  
          Brazil — 0.4%  
    130,300     Itau Unibanco Holding SA     652,837  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $627,468)
    652,837  
     

 

 

 
          INVESTMENT FUNDS — 0.0%  
          Russia — 0.0%  
    61,600     VanEck Vectors Russia ETF (b)     9,610  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $1,565,234)
    9,610  
     

 

 

 
          MUTUAL FUNDS — 3.7%  
          United States — 3.7%  
          Affiliated Issuers — 3.7%      
    1,126,164     GMO U.S. Treasury Fund     5,608,296  
     

 

 

 
    Total United States     5,608,296  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $5,608,296)
    5,608,296  
     

 

 

 
 


GMO Emerging Markets Select Equity Fund (formerly GMO Emerging Domestic Opportunities Fund)

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.5%  
          Money Market Funds — 0.5%  
    708,282     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (e)     708,282  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $708,282)
    708,282  
     

 

 

 
   

TOTAL INVESTMENTS — 96.7%

(Cost $190,325,546)

    145,549,249  
    Other Assets and Liabilities (net) — 3.3%     4,977,930  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $150,527,179  
     

 

 

 
 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
November 30, 2022
 
Sberbank of Russia PJSC    03/03/21    $ 2,059,161      0.1%   $ 82,385  
          

 

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(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)

The security is restricted as to resale.

 

(d)

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

 

(e)

The rate disclosed is the 7 day net yield as of November 30, 2022.

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

QPSC - Qatar Private Stock Company

 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 98.3%  
          Australia — 4.3%      
    75,931     Ampol Ltd     1,480,267  
    473,394     Aurizon Holdings Ltd     1,230,387  
    51,448     BHP Group Ltd     1,597,735  
    560,991     BlueScope Steel Ltd     6,761,583  
    201,744     Brambles Ltd     1,668,795  
    182,219     Fortescue Metals Group Ltd     2,425,274  
    651,380     GrainCorp Ltd – Class A     3,601,473  
    128,571     JB Hi-Fi Ltd     3,954,118  
    143,988     Metcash Ltd     411,753  
    89,611     Pact Group Holdings Ltd     65,098  
    557,171     Rio Tinto Ltd     41,595,391  
    235,528     Sims Ltd     2,104,335  
     

 

 

 
    Total Australia            66,896,209  
     

 

 

 
          Belgium — 0.2%      
    9,147     Ageas SA/NV     370,379  
    91,042     AGFA-Gevaert NV *     263,253  
    52,592     Bekaert SA     1,877,999  
    8,033     Melexis NV     707,775  
     

 

 

 
    Total Belgium     3,219,406  
     

 

 

 
          Denmark — 0.0%      
    9,627     Per Aarsleff Holding A/S     311,620  
    6,605     Schouw & Co A/S     477,494  
     

 

 

 
    Total Denmark     789,114  
     

 

 

 
          Finland — 1.4%      
    3,168     Kesko Oyj – B Shares     68,098  
    3,930,530     Nokia Oyj     19,365,352  
    5,686     Outokumpu Oyj     28,682  
    58,153     UPM-Kymmene Oyj     2,134,876  
     

 

 

 
    Total Finland     21,597,008  
     

 

 

 
          France — 14.0%      
    26,778     ALD SA     269,499  
    20,568     Alten SA     2,599,486  
    10,457     Arkema SA     929,749  
    761,708     Cie de Saint-Gobain     35,123,535  
    196,613     Coface SA     2,406,842  
    192,150     Derichebourg SA     1,039,494  
    77,066     Ipsen SA     8,614,842  
    48,662     IPSOS     2,783,803  
    13,260     Kering SA     7,967,099  
    121,477     Metropole Television SA     1,746,634  
    115,037     Publicis Groupe SA     7,571,322  
    18,919     Rexel SA *     347,662  
    465,441     Sanofi     42,042,950  
    13,893     Societe BIC SA     917,815  
    726,350     Societe Generale SA     18,281,520  
    
Shares
    Description   Value ($)  
          France — continued      
    953,500     STMicroelectronics NV     37,072,080  
    212,461     Television Francaise 1     1,605,847  
    14,723     TotalEnergies SE (a)     913,552  
    739,989     TotalEnergies SE (a)     46,249,376  
     

 

 

 
    Total France     218,483,107  
     

 

 

 
          Germany — 3.8%      
    146,687     Bayer AG (Registered)     8,513,259  
    119,759     Bayerische Motoren Werke AG     10,873,955  
    26,069     Henkel AG & Co KGaA     1,734,352  
    16,282     Hornbach Holding AG & Co KGaA     1,291,502  
    6,065     HUGO BOSS AG     341,183  
    5,326     Indus Holding AG     126,329  
    263,799     Kloeckner & Co SE     2,503,517  
    160,642     Merck KGaA     29,432,027  
    38,422     ProSiebenSat.1 Media SE     349,121  
    26,165     RTL Group SA     1,086,798  
    51,381     Salzgitter AG     1,506,767  
    12,807     Volkswagen AG     2,472,363  
     

 

 

 
    Total Germany            60,231,173  
     

 

 

 
          Hong Kong — 1.7%      
    548,100     ASMPT Ltd     4,080,330  
    149,500     BOC Hong Kong Holdings Ltd     477,203  
    553,487     Champion (REIT)     191,964  
    755,112     Chow Tai Fook Jewellery Group Ltd     1,331,534  
    1,113,000     CK Asset Holdings Ltd     6,661,855  
    160,500     CK Hutchison Holdings Ltd     933,023  
    202,800     Dah Sing Banking Group Ltd     141,404  
    120,869     Dah Sing Financial Holdings Ltd     269,999  
    3,995,207     Esprit Holdings Ltd *     387,137  
    1,617,585     IGG Inc *     572,028  
    461,401     Johnson Electric Holdings Ltd     578,581  
    297,640     Kerry Logistics Network Ltd     524,363  
    164,326     Luk Fook Holdings International Ltd     398,384  
    1,132,331     Pacific Textiles Holdings Ltd     373,078  
    1,301,023     Shun Tak Holdings Ltd *     209,741  
    321,000     SITC International Holdings Co Ltd     712,092  
    289,526     SmarTone Telecommunications Holdings Ltd     146,985  
    71,000     Techtronic Industries Co Ltd     865,501  
    313,588     Television Broadcasts Ltd *     151,716  
    926,000     VSTECS Holdings Ltd     502,630  
    81,800     VTech Holdings Ltd     521,690  
    10,390,515     WH Group Ltd     6,087,971  
     

 

 

 
    Total Hong Kong     26,119,209  
     

 

 

 
          Ireland — 0.6%      
    838,104     Bank of Ireland Group Plc     6,949,590  
    49,150     Kingspan Group Plc     2,790,044  
     

 

 

 
    Total Ireland     9,739,634  
     

 

 

 
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Italy — 0.8%      
    307,976     Anima Holding SPA     1,178,649  
    74,749     Banca IFIS SPA     1,030,154  
    85,797     Esprinet SPA     634,268  
    131,595     Italgas SPA     774,445  
    259,782     Leonardo SPA     2,084,300  
    1,438,397     MFE-MediaForEurope NV – Class A     605,198  
    2,362     Sesa SPA     296,690  
    395,162     Snam SPA     2,017,186  
    37,027     Terna – Rete Elettrica Nazionale     283,625  
    37,310     Unieuro SPA     506,327  
    685,148     Unipol Gruppo SPA     3,504,753  
     

 

 

 
    Total Italy            12,915,595  
     

 

 

 
          Japan — 25.6%      
    56,900     Advantest Corp     3,872,764  
    63,520     AOKI Holdings Inc     318,617  
    891,215     Asahi Kasei Corp     6,623,806  
    97,800     Bandai Namco Holdings Inc     6,480,264  
    367,796     Brother Industries Ltd     5,973,441  
    1,388,400     Canon Inc     32,453,437  
    31,300     Canon Inc Sponsored ADR     731,168  
    13,800     Canon Marketing Japan Inc     313,974  
    74,900     Citizen Watch Co Ltd     328,904  
    45,600     Dai Nippon Printing Co Ltd     944,450  
    126,690     Daiwabo Holdings Co Ltd     2,021,257  
    70,674     Dexerials Corp     1,696,143  
    53,948     Doutor Nichires Holdings Co Ltd     665,175  
    46,754     FUJIFILM Holdings Corp     2,515,000  
    20,706     Fuyo General Lease Co Ltd     1,329,587  
    59,436     Geo Holdings Corp     849,194  
    17,553     Gunze Ltd     510,025  
    128,900     Haseko Corp     1,425,306  
    1,268,954     ITOCHU Corp     39,854,139  
    1,969,304     Japan Tobacco Inc     40,290,742  
    127,344     Kanematsu Corp     1,422,020  
    1,212,496     KDDI Corp     36,065,171  
    42,093     Komeri Co Ltd     794,647  
    2,975,200     Marubeni Corp     33,656,570  
    99,657     MCJ Co Ltd     699,288  
    271,700     Mitsubishi Corp     9,150,628  
    547,800     Mitsubishi Motors Corp *     2,555,729  
    1,126,238     Mitsui & Co Ltd     32,687,619  
    39,684     Modec Inc *     444,060  
    353,700     NGK Spark Plug Co Ltd     6,930,214  
    97,226     Nichias Corp     1,725,537  
    253,100     Nikon Corp     2,474,741  
    47,731     Nippon Signal Company Ltd     360,421  
    1,229,195     Nippon Telegraph & Telephone Corp     34,084,329  
    85,166     Okinawa Electric Power Co (The)     654,593  
    60,300     Ono Pharmaceutical Co Ltd     1,545,377  
    82,324     Press Kogyo Co Ltd     271,974  
    37,519     Prima Meat Packers Ltd     557,822  
    
Shares
    Description   Value ($)  
          Japan — continued      
    5,983     San-A Co Ltd     189,869  
    77,400     Sega Sammy Holdings Inc     1,032,171  
    182,100     Seiko Epson Corp     2,865,588  
    65,595     Seiko Group Corp     1,524,039  
    394,012     Sekisui Chemical Co Ltd     5,572,632  
    739,700     Sekisui House Ltd     13,849,899  
    26,900     Shimamura Co Ltd     2,442,204  
    646,981     Sojitz Corp     11,529,772  
    3,709,141     Sumitomo Chemical Co Ltd     13,522,909  
    292,600     Sumitomo Forestry Co Ltd     5,108,835  
    17,600     Suntory Beverage & Food Ltd     599,769  
    20,638     T-Gaia Corp     248,144  
    30,400     Tokyo Gas Co Ltd     559,208  
    26,977     Tokyo Seimitsu Co Ltd     864,487  
    116,275     Tokyu Construction Co Ltd     556,659  
    50,428     Towa Pharmaceutical Co Ltd     776,914  
    367,655     Toyota Tsusho Corp     14,192,529  
    24,269     TPR Co Ltd     218,693  
    64,269     Valor Holdings Co Ltd     825,196  
    20,256     Warabeya Nichiyo Holdings Co Ltd     272,657  
    17,508     Yahagi Construction Co Ltd     94,253  
    45,800     Yakult Honsha Co Ltd     2,922,985  
    167,000     Yamaha Motor Co Ltd     4,183,310  
    48,600     Yokogawa Electric Corp     916,580  
     

 

 

 
    Total Japan     400,147,435  
     

 

 

 
          Netherlands — 7.5%      
    52,178     ASR Nederland NV     2,388,120  
    144,748     EXOR NV *     11,362,716  
    1,199,184     Koninklijke Ahold Delhaize NV     34,946,734  
    79,482     Koninklijke KPN NV     244,510  
    211,688     NN Group NV     9,046,796  
    483,894     Randstad NV     28,028,788  
    242,947     Signify NV     8,297,760  
    216,443     Wolters Kluwer NV     23,854,266  
     

 

 

 
    Total Netherlands     118,169,690  
     

 

 

 
          Norway — 2.8%      
    88,434     BW LPG Ltd     788,567  
    252,712     Elkem ASA *     935,827  
    973,109     Equinor ASA     37,475,206  
    247,968     Europris ASA     1,575,921  
    332,137     Norsk Hydro ASA     2,501,031  
     

 

 

 
    Total Norway            43,276,552  
     

 

 

 
          Portugal — 1.5%      
    253,505     CTT-Correios de Portugal SA     849,438  
    470,712     Galp Energia SGPS SA     5,799,959  
    529,054     Jeronimo Martins SGPS SA     11,804,003  
    437,520     Navigator Co SA (The)     1,777,233  
    337,413     REN – Redes Energeticas Nacionais SGPS SA     893,552  
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Portugal — continued      
    2,331,776     Sonae SGPS SA     2,368,770  
     

 

 

 
    Total Portugal     23,492,955  
     

 

 

 
          Singapore — 5.0%      
    109,100     City Developments Ltd     670,267  
    1,368,925     DBS Group Holdings Ltd     35,699,845  
    843,400     First Resources Ltd     1,007,859  
    213,087     Jardine Cycle & Carriage Ltd     4,752,646  
    1,619,000     Keppel Corp Ltd     9,036,494  
    428,300     Sheng Siong Group Ltd     519,430  
    179,600     Venture Corp Ltd     2,305,936  
    3,213,039     Wilmar International Ltd     9,746,848  
    8,014,622     Yangzijiang Financial Holding Ltd *     2,050,336  
    11,084,122     Yangzijiang Shipbuilding Holdings Ltd     11,738,873  
     

 

 

 
    Total Singapore            77,528,534  
     

 

 

 
          Spain — 6.4%      
    1,075,790     Acerinox SA     10,642,838  
    7,072,399     Banco Bilbao Vizcaya Argentaria SA     41,677,944  
    26,789,440     Banco de Sabadell SA     25,013,809  
    169,683     Bankinter SA     1,116,018  
    26,651     Ebro Foods SA     421,130  
    88,803     Ence Energia y Celulosa SA     294,206  
    12,628     Grupo Catalana Occidente SA     399,438  
    291,189     Industria de Diseno Textil SA     7,601,138  
    708,168     Repsol SA     10,934,342  
    1,799,875     Unicaja Banco SA     1,860,823  
     

 

 

 
    Total Spain     99,961,686  
     

 

 

 
          Sweden — 0.6%      
    112,976     Investor AB – A Shares     2,175,315  
    20,238     New Wave Group AB – B Shares     410,083  
    1,077,823     SSAB AB – A Shares     6,241,404  
     

 

 

 
    Total Sweden     8,826,802  
     

 

 

 
          Switzerland — 6.2%      
    40,548     Ascom Holding AG (Registered)     339,167  
    21,421     DKSH Holding AG     1,615,161  
    209     Forbo Holding AG (Registered)     246,295  
    62,318     Novartis AG (Registered)     5,543,469  
    164,263     Roche Holding AG – Genusschein     53,652,215  
    5,146     u-blox Holding AG *     669,971  
    1,616,200     UBS Group AG (Registered)     29,823,214  
    3,995     Zehnder Group AG – Class RG     237,512  
    11,334     Zurich Insurance Group AG     5,445,271  
     

 

 

 
    Total Switzerland     97,572,275  
     

 

 

 
          United Kingdom — 15.8%      
    1,049,930     3i Group Plc     17,250,835  
    1,143,582     BAE Systems Plc     11,325,731  
    3,074,660     Barratt Developments Plc     14,868,360  
Shares /
Par Value†
    Description   Value ($)  
          United Kingdom — continued      
    204,834     Bellway Plc     4,977,293  
    7,777     Berkeley Group Holdings Plc     360,648  
    566,400     BP Plc Sponsored ADR     20,333,760  
    1,065,794     British American Tobacco Plc     43,699,702  
    28,658     British American Tobacco Plc Sponsored ADR     1,182,716  
    12,816,142     BT Group Plc     18,859,093  
    2,078     Bunzl Plc     76,851  
    635,402     Coca-Cola HBC AG *     15,542,504  
    83,864     Crest Nicholson Holdings Plc     232,130  
    17,500     Diageo Plc Sponsored ADR     3,264,625  
    25,563     Ferguson Plc     2,898,102  
    872,722     Ferrexpo Plc     1,520,114  
    57,044     Galliford Try Holdings Plc     108,136  
    52,532     Grafton Group Plc     493,894  
    714,946     GSK Plc     12,156,983  
    103,137     Halfords Group Plc     242,800  
    307,835     IG Group Holdings Plc     3,062,201  
    1,416,903     Imperial Brands Plc     36,444,251  
    704,574     Investec Plc     4,449,906  
    670,633     Kingfisher Plc     1,961,198  
    211,790     Next Plc     15,136,010  
    59,535     OSB Group Plc     342,736  
    297,746     Persimmon Plc     4,611,742  
    198,700     Plus500 Ltd     4,561,269  
    592,300     Redrow Plc     3,263,634  
    42,519     RS Group Plc     472,876  
    539,609     Spirent Communications Plc     1,880,541  
    259,383     Vesuvius Plc     1,198,115  
     

 

 

 
    Total United Kingdom     246,778,756  
     

 

 

 
          United States — 0.1%      
    79,531     ADTRAN Holdings, Inc.     1,612,093  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,636,421,893)
      1,537,357,233  
     

 

 

 
          PREFERRED STOCKS (b) — 0.8%      
          Germany — 0.8%      
    77,262     Bayerische Motoren Werke AG     6,704,330  
    11,586     Draegerwerk AG & Co KGaA     525,136  
    74,716     Henkel AG & Co KGaA     5,344,161  
     

 

 

 
    Total Germany     12,573,627  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $11,738,865)
    12,573,627  
     

 

 

 
          DEBT OBLIGATIONS — 2.3%      
          United States — 2.3%      
    35,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 07/31/24 (c)     34,955,383  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $34,970,844)
    34,955,383  
     

 

 

 
 


GMO International Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
    MUTUAL FUNDS — 1.5%  
          United States — 1.5%      
          Affiliated Issuers — 1.5%      
    4,718,876     GMO U.S. Treasury Fund     23,500,000  
     

 

 

 
    Total United States     23,500,000  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $23,500,000)
           23,500,000  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%      
          France — 0.0%      
    26,778     ALD SA, expires 12/13/22 *     58,238  
     

 

 

 
    Total France     58,238  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
    58,238  
     

 

 

 
    
Shares
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 0.0%

 

          Money Market Funds — 0.0%      
    291,071     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (d)     291,071  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $291,071)
    291,071  
     

 

 

 
    TOTAL INVESTMENTS — 102.9%
(Cost $1,706,922,673)
    1,608,735,552  
    Other Assets and Liabilities (net) — (2.9)%     (45,037,014
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,563,698,538  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
77   MSCI EAFE   December 2022   $ 7,622,230     $ 193,473  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

As of November 30, 2022, 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)

Securities are traded on separate exchanges for the same entity.

 

(b)

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

 

(c)

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

 

(d)

The rate disclosed is the 7 day net yield as of November 30, 2022.

Portfolio Abbreviations:

ADR - American Depositary Receipt

REIT - Real Estate Investment Trust

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

 

 

The rates shown on variable rate notes are the current interest rates at November 30, 2022, which are subject to change based on the terms of the security.

 


GMO-Usonian Japan Value Creation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description   Value ($)  
    COMMON STOCKS — 97.3%  
          Automobiles & Components — 6.6%      
    152,800     Honda Motor Co Ltd     3,723,980  
    228,100     Stanley Electric Co Ltd     4,690,103  
     

 

 

 
    Total Automobiles & Components     8,414,083  
     

 

 

 
          Banks — 6.2%      
    129,900     Sumitomo Mitsui Financial Group Inc     4,408,899  
    110,500     Sumitomo Mitsui Trust Holdings Inc     3,543,809  
     

 

 

 
    Total Banks     7,952,708  
     

 

 

 
          Capital Goods — 18.0%      
    241,500     EXEO Group Inc     3,748,601  
    212,200     Fuji Corp     3,237,610  
    152,500     Kyudenko Corp     3,669,045  
    599,300     Penta-Ocean Construction Co Ltd     2,836,161  
    228,900     Takuma Co Ltd     2,139,277  
    153,800     THK Co Ltd     3,033,769  
    74,000     Toyota Industries Corp     4,245,174  
     

 

 

 
    Total Capital Goods     22,909,637  
     

 

 

 
          Commercial & Professional Services — 4.9%  
    53,700     Secom Co Ltd     3,320,005  
    191,800     Toppan Inc     2,987,503  
     

 

 

 
    Total Commercial & Professional Services     6,307,508  
     

 

 

 
          Consumer Durables & Apparel — 1.8%  
    212,300     Haseko Corp     2,347,498  
     

 

 

 
          Diversified Financials — 3.4%      
    135,000     Credit Saison Co Ltd     1,730,817  
    69,100     Zenkoku Hosho Co Ltd     2,572,869  
     

 

 

 
    Total Diversified Financials     4,303,686  
     

 

 

 
          Food, Beverage & Tobacco — 9.8%      
    92,100     Ezaki Glico Co Ltd     2,403,206  
    231,200     Kirin Holdings Co Ltd     3,649,629  
    88,000     Morinaga & Co Ltd     2,370,786  
    131,800     NH Foods Ltd     3,548,593  
    62,400     Takara Holdings Inc     487,990  
     

 

 

 
    Total Food, Beverage & Tobacco         12,460,204  
     

 

 

 
          Health Care Equipment & Services — 2.2%  
    141,200     H.U. Group Holdings Inc     2,863,838  
     

 

 

 
          Insurance — 5.7%      
    96,000     MS&AD Insurance Group Holdings Inc     2,849,403  
    364,900     T&D Holdings Inc     4,436,209  
     

 

 

 
    Total Insurance     7,285,612  
     

 

 

 
          Materials — 9.3%      
    139,400     Denka Co Ltd     3,375,189  
    114,100     Maruichi Steel Tube Ltd     2,373,221  
    291,600     Teijin Ltd     2,829,397  
Shares     Description   Value ($)  
          Materials — continued      
    421,500     Tokai Carbon Co Ltd     3,252,326  
     

 

 

 
    Total Materials     11,830,133  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life Sciences — 3.3%  
    40,500     Sawai Group Holdings Co Ltd     1,254,051  
    133,900     Tsumura & Co     2,934,317  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     4,188,368  
     

 

 

 
          Real Estate — 2.5%      
    262,400     Aeon Mall Co Ltd     3,168,975  
     

 

 

 
          Retailing — 1.8%      
    280,800     K’s Holdings Corp     2,331,519  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 7.5%  
    40,200     Rohm Co Ltd     3,226,906  
    222,000     SUMCO Corp     3,321,456  
    95,200     Tokyo Seimitsu Co Ltd     3,050,717  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     9,599,079  
     

 

 

 
          Software & Services — 2.9%      
    103,800     NEC Corp     3,695,338  
     

 

 

 
          Technology Hardware & Equipment — 6.4%  
    152,400     Amano Corp     2,766,546  
    222,500     Daiwabo Holdings Co Ltd     3,549,844  
    33,700     FUJIFILM Holdings Corp     1,812,797  
     

 

 

 
    Total Technology Hardware & Equipment     8,129,187  
     

 

 

 
          Telecommunication Services — 1.8%      
    78,800     KDDI Corp     2,343,872  
     

 

 

 
          Transportation — 3.2%      
    112,100     Sankyu Inc     4,056,874  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $148,031,414)
    124,188,119  
     

 

 

 
          SHORT-TERM INVESTMENTS — 1.8%  
          Money Market Funds — 1.8%      
    2,252,906     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     2,252,906  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $2,252,906)
    2,252,906  
     

 

 

 
    TOTAL INVESTMENTS — 99.1%
(Cost $150,284,320)
    126,441,025  
    Other Assets and Liabilities (net) — 0.9%     1,120,528  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $127,561,553  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 


GMO Quality Cyclicals Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 97.4%  
          Brazil — 0.2%      
    15,002     Vale SA     247,781  
     

 

 

 
          Canada — 5.5%      
    62,934     Brookfield Asset Management Inc – Class A     2,967,338  
    39,009     Nutrien Ltd     3,136,324  
     

 

 

 
    Total Canada     6,103,662  
     

 

 

 
          China — 3.3%      
    239,644     Alibaba Group Holding Ltd *     2,608,082  
    28,423     Tencent Holdings Ltd     1,074,853  
     

 

 

 
    Total China     3,682,935  
     

 

 

 
          Finland — 2.2%      
    48,038     Neste Oyj     2,479,556  
     

 

 

 
          France — 9.2%      
    3,679     Kering SA     2,210,479  
    4,944     LVMH Moet Hennessy Louis Vuitton SE     3,836,685  
    32,755     Safran SA     4,048,049  
     

 

 

 
    Total France          10,095,213  
     

 

 

 
          Germany — 2.2%      
    21,835     Beiersdorf AG     2,374,628  
     

 

 

 
          Hong Kong — 1.5%      
    280,833     Galaxy Entertainment Group Ltd     1,707,312  
     

 

 

 
          Ireland — 2.5%      
    170,146     Ryanair Holdings Plc *     2,296,762  
    5,482     Ryanair Holdings Plc Sponsored ADR *     414,932  
     

 

 

 
    Total Ireland     2,711,694  
     

 

 

 
          Mexico — 6.0%      
    484,370     Fomento Economico Mexicano SAB de CV     3,865,621  
    669,152     Grupo Mexico SAB de CV – Series B     2,722,527  
     

 

 

 
    Total Mexico     6,588,148  
     

 

 

 
          Russia — 0.2%      
    33,541     LUKOIL PJSC (a)     176,903  
    72,920     Novatek PJSC (a)     86,271  
     

 

 

 
    Total Russia     263,174  
     

 

 

 
          Spain — 4.5%      
    46,931     Amadeus IT Group SA *     2,537,442  
    91,707     Industria de Diseno Textil SA     2,393,901  
     

 

 

 
    Total Spain     4,931,343  
     

 

 

 
          United Kingdom — 10.5%      
    41,008     Berkeley Group Holdings Plc     1,901,690  
    211,215     Compass Group Plc     4,815,265  
     Shares     Description   Value ($)  
          United Kingdom — continued      
    81,801     Persimmon Plc     1,267,003  
    219,843     S4 Capital Plc *     507,598  
    104,884     Shell Plc     3,069,514  
     

 

 

 
    Total United Kingdom     11,561,070  
     

 

 

 
          United States — 49.6%      
    23,309     Alphabet, Inc. – Class A *     2,353,976  
    20,763     American Express Co.     3,272,041  
    1,453     Booking Holdings, Inc. *     3,021,441  
    71,693     BorgWarner, Inc.     3,047,669  
    9,812     CarMax, Inc. *     680,560  
    17,139     Chevron Corp.     3,141,750  
    45,860     Darling Ingredients, Inc. *     3,294,124  
    30,571     EOG Resources, Inc.     4,338,942  
    34,837     Green Plains, Inc. *     1,203,967  
    20,419     Hilton Worldwide Holdings, Inc.     2,912,158  
    33,510     Intercontinental Exchange, Inc.     3,629,468  
    3,762     Lam Research Corp.     1,777,094  
    52,984     Las Vegas Sands Corp. *     2,481,771  
    2,277     Markel Corp. *     3,016,661  
    9,959     Meta Platforms, Inc. – Class A *     1,176,158  
    26,213     Micron Technology, Inc.     1,511,179  
    23,717     Otis Worldwide Corp.     1,852,061  
    38,603     Raytheon Technologies Corp.     3,810,888  
    39,110     Sensata Technologies Holding Plc     1,763,861  
    65,736     US Bancorp     2,983,757  
    71,233     Wells Fargo & Co.     3,415,622  
     

 

 

 
    Total United States          54,685,148  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $92,749,523)
    107,431,664  
     

 

 

 
          PREFERRED STOCKS (b) — 2.1%      
          Brazil — 2.1%      
    436,575     Bradespar SA     2,380,852  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $2,072,925)
    2,380,852  
     

 

 

 
          MUTUAL FUNDS — 0.3%      
          United States — 0.3%      
          Affiliated Issuers — 0.3%      
    60,241     GMO U.S. Treasury Fund     300,000  
     

 

 

 
    Total United States     300,000  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $300,000)
    300,000  
     

 

 

 
 


GMO Quality Cyclicals Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.2%  
          Money Market Funds — 0.2%  
    159,428     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (c)     159,428  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $159,428)
    159,428  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $95,281,876)
    110,271,944  
    Other Assets and Liabilities (net) — 0.0%     29,537  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $110,301,481  
     

 

 

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

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

 

(b)

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

 

(c)

The rate disclosed is the 7 day net yield as of November 30, 2022.

Portfolio Abbreviations:

ADR - American Depositary Receipt

PJSC - Private Joint-Stock Company

 


GMO Quality Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 98.4%  
          Banks — 6.1%      
    5,169,372     US Bancorp     234,637,795  
    4,256,303     Wells Fargo & Co.     204,089,729  
     

 

 

 
    Total Banks     438,727,524  
     

 

 

 
          Capital Goods — 5.2%      
    498,456     Knorr-Bremse AG     28,414,253  
    1,792,858     Otis Worldwide Corp.     140,004,281  
    1,661,846     Safran SA     205,380,385  
     

 

 

 
    Total Capital Goods     373,798,919  
     

 

 

 
          Consumer Durables & Apparel — 1.3%  
    122,304     LVMH Moet Hennessy Louis Vuitton SE     94,911,384  
     

 

 

 
          Consumer Services — 2.5%      
    7,888,901     Compass Group Plc     179,850,614  
     

 

 

 
          Diversified Financials — 1.6%      
    732,750     American Express Co.     115,474,072  
     

 

 

 
          Food, Beverage & Tobacco — 5.6%      
    3,214,584     Coca-Cola Co. (The)     204,479,688  
    392,511     Constellation Brands, Inc. – Class A     101,012,706  
    769,278     Nestle SA (Registered)     91,562,185  
     

 

 

 
    Total Food, Beverage & Tobacco     397,054,579  
     

 

 

 
          Health Care Equipment & Services — 14.9%  
    921,061     Abbott Laboratories     99,087,742  
    235,077     Cigna Corp.     77,314,475  
    382,120     Elevance Health, Inc.     203,639,390  
    354,348     Intuitive Surgical, Inc. *     95,812,156  
    1,674,510     Medtronic Plc     132,353,270  
    841,004     Quest Diagnostics, Inc.     127,689,637  
    599,598     UnitedHealth Group, Inc.     328,435,801  
     

 

 

 
    Total Health Care Equipment & Services       1,064,332,471  
     

 

 

 
          Household & Personal Products — 2.1%  
    3,061,166     Unilever Plc     153,061,735  
     

 

 

 
          Media & Entertainment — 4.9%      
    2,027,967     Alphabet, Inc. – Class A *     204,804,387  
    1,214,025     Meta Platforms, Inc. – Class A *     143,376,353  
     

 

 

 
    Total Media & Entertainment     348,180,740  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life Sciences — 10.5%  
    444,400     Eli Lilly & Co.     164,907,952  
    1,585,723     Johnson & Johnson     282,258,694  
    1,516,830     Merck & Co., Inc.     167,033,320  
    407,569     Roche Holding AG – Genusschein     133,121,760  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     747,321,726  
     

 

 

 
          Retailing — 6.9%      
    7,548,565     Alibaba Group Holding Ltd *     82,152,191  
     Shares     Description   Value ($)  
          Retailing — continued      
    2,043,736     Amazon.com, Inc. *     197,302,273  
    2,690,318     TJX Cos, Inc. (The)     215,359,956  
     

 

 

 
    Total Retailing     494,814,420  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 10.7%  
    299,845     KLA Corp.     117,884,062  
    419,062     Lam Research Corp.     197,956,508  
    13,185,790     Taiwan Semiconductor Manufacturing Co Ltd     211,761,795  
    1,310,699     Texas Instruments, Inc.     236,528,741  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     764,131,106  
     

 

 

 
          Software & Services — 22.5%      
    687,048     Accenture Plc – Class A     206,753,355  
    387,586     Adobe, Inc. *     133,690,039  
    803,196     Amadeus IT Group SA *     43,426,804  
    358,732     Global Payments, Inc.     37,229,207  
    1,900,668     Microsoft Corp.     484,936,433  
    2,429,200     Oracle Corp.     201,696,476  
    796,173     salesforce.com, Inc. *     127,586,723  
    1,926,393     SAP SE     213,746,073  
    721,454     Visa, Inc. – Class A     156,555,518  
     

 

 

 
    Total Software & Services     1,605,620,628  
     

 

 

 
          Technology Hardware & Equipment — 3.6%  
    1,713,063     Apple, Inc.     253,584,716  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $4,458,238,852)
    7,030,864,634  
     

 

 

 
          MUTUAL FUNDS — 1.4%  
          Affiliated Issuers — 1.4%      
    20,733,512     GMO U.S. Treasury Fund     103,252,888  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $103,252,888)
    103,252,888  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%      
    3,875,510     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     3,875,510  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $3,875,510)
    3,875,510  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $4,565,367,250)
    7,137,993,032  
    Other Assets and Liabilities (net) — 0.1%     10,697,908  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $7,148,690,940  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 89.5%  
          Argentina — 0.9%      
    2,673,575     Adecoagro SA (a)     22,083,729  
     

 

 

 
          Australia — 3.0%      
    16,885,684     Beach Energy Ltd     20,356,557  
    735,000     Clean TeQ Water Ltd *     192,799  
    2,791,862     Fortescue Metals Group Ltd     37,158,749  
    6,201,772     Jupiter Mines Ltd (a)     782,213  
    6,690,730     Perenti Ltd *     5,047,676  
    2,764,553     Sandfire Resources Ltd     9,568,923  
    1,470,000     Sunrise Energy Metals Ltd *     2,045,017  
     

 

 

 
    Total Australia     75,151,934  
     

 

 

 
          Austria — 1.4%      
    655,431     OMV AG (a)     34,784,822  
     

 

 

 
          Brazil — 3.0%      
    1,168,900     Dexco SA *     1,880,836  
    1,832,700     Enauta Participacoes SA     4,732,419  
    3,914,678     Sao Martinho SA     21,620,178  
    927,420     SLC Agricola SA     8,020,775  
    1,183,700     Suzano SA     12,123,610  
    1,518,268     Vale SA     25,076,503  
     

 

 

 
    Total Brazil            73,454,321  
     

 

 

 
          Canada — 9.3%      
    850,200     Anaergia Inc * (a)     2,730,449  
    436,300     Birchcliff Energy Ltd     3,483,524  
    709,129     Canadian Solar Inc *     25,422,275  
    1,036,200     Crescent Point Energy Corp     8,051,274  
    747,652     Enerflex Ltd (a)     4,957,853  
    1,535,100     First Quantum Minerals Ltd     36,495,928  
    1,617,600     Greenlane Renewables Inc * (a)     685,449  
    7,453,600     Ivanhoe Mines Ltd – Class A * (a)     66,714,749  
    1,653,309     Largo Inc * (a)     9,218,167  
    1,991,200     Li-Cycle Holdings Corp *     12,683,944  
    199,200     Nutrien Ltd     16,015,680  
    1,105,600     Tamarack Valley Energy Ltd (a)     4,257,524  
    295,700     Teck Resources Ltd – Class B (b)     10,967,513  
    376,800     Teck Resources Ltd – Class B (b)     13,966,656  
    627,100     Vermilion Energy Inc     12,404,038  
     

 

 

 
    Total Canada     228,055,023  
     

 

 

 
          China — 1.5%      
    10,394,000     China High Speed Transmission Equipment  
    Group Co Ltd * (a)     4,851,017  
    5,338,000     China Oilfield Services Ltd – Class H     6,748,153  
    5,782,000     China Water Affairs Group Ltd (a)     4,712,066  
    2,374,884     Inner Mongolia Eerduosi Resources Co Ltd – Class A     5,410,014  
    3,859,466     Western Mining Co Ltd – Class A     5,933,816  
     Shares     Description   Value ($)  
          China — continued      
    8,564,600     Xinjiang Goldwind Science & Technology Co Ltd – Class H (a)     9,282,573  
     

 

 

 
    Total China     36,937,639  
     

 

 

 
          Denmark — 1.8%      
    1,739,406     Vestas Wind Systems A/S     45,193,611  
     

 

 

 
          Finland — 0.5%      
    383,853     Kemira Oyj     5,565,896  
    127,268     Neste Oyj     6,569,136  
     

 

 

 
    Total Finland     12,135,032  
     

 

 

 
          France — 2.0%      
    52,297     Eramet SA     4,475,228  
    750,372     Technip Energies NV     11,884,082  
    1,208,864     Veolia Environnement SA     31,287,656  
    45,533     Vilmorin & Cie SA     2,337,438  
     

 

 

 
    Total France     49,984,404  
     

 

 

 
          Hungary — 0.8%      
    2,710,540     MOL Hungarian Oil & Gas Plc     19,622,691  
     

 

 

 
          India — 1.2%      
    2,646,123     Oil India Ltd     6,718,640  
    6,012,795     Vedanta Ltd     22,742,287  
     

 

 

 
    Total India            29,460,927  
     

 

 

 
          Israel — 0.5%      
    82,064     Delek Group Ltd *     10,473,002  
    79,565     Equital Ltd *     2,577,264  
    74,856     Naphtha Israel Petroleum Corp Ltd *     422,953  
     

 

 

 
    Total Israel     13,473,219  
     

 

 

 
          Italy — 1.0%      
    1,597,654     Eni SPA     23,821,015  
     

 

 

 
          Japan — 2.2%      
    285,800     Ebara Corp     11,111,829  
    2,159,600     Inpex Corp     23,797,986  
    767,700     Mitsubishi Materials Corp     12,272,858  
    89,700     Nittetsu Mining Co Ltd     2,064,993  
    179,700     Sumitomo Metal Mining Co Ltd     6,061,037  
     

 

 

 
    Total Japan     55,308,703  
     

 

 

 
          Mexico — 2.2%      
    13,083,040     Grupo Mexico SAB de CV – Series B     53,229,949  
     

 

 

 
          Netherlands — 0.2%      
    243,042     SBM Offshore NV     3,894,231  
     

 

 

 
          Norway — 2.5%      
    1,388,061     Austevoll Seafood ASA     11,353,250  
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          Norway — continued      
    4,089,354     DNO ASA     5,226,246  
    1,060,355     Equinor ASA     40,835,119  
    357,869     TGS ASA     4,896,147  
     

 

 

 
    Total Norway     62,310,762  
     

 

 

 
          Pakistan — 0.1%      
    1,182,763     Fauji Fertilizer Co Ltd     541,993  
    595,518     Pakistan Oilfields Ltd     1,113,879  
     

 

 

 
    Total Pakistan     1,655,872  
     

 

 

 
          Poland — 0.7%      
    1,102,921     Polski Koncern Naftowy ORLEN SA     16,234,110  
     

 

 

 
          Portugal — 3.6%      
    7,149,263     Galp Energia SGPS SA            88,090,884  
     

 

 

 
          Russia — 0.6%      
    3,574,704     Gazprom Neft PJSC (c)     1,917,775  
    14,145,410     Gazprom PJSC (c)     2,721,065  
    248,399     LUKOIL PJSC (c)     1,310,114  
    232,917     MMC Norilsk Nickel PJSC (c)     3,816,289  
    338,098     PhosAgro PJSC (c)     2,493,698  
    6,533     PhosAgro PJSC GDR * (c) (d)     16,095  
    2     PhosAgro PJSC GDR (Registered) (c)     5  
    601,778     Ros Agro Plc GDR (Registered) * (c)     543,712  
    3,476,399     Tatneft PJSC (c)     1,451,913  
     

 

 

 
    Total Russia     14,270,666  
     

 

 

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

 

 

 
          South Africa — 3.6%      
    904,373     African Rainbow Minerals Ltd     15,662,147  
    112,881     Anglo American Platinum Ltd     11,409,402  
    2,130,972     Impala Platinum Holdings Ltd     25,898,942  
    377,896     Sasol Ltd     6,570,086  
    10,849,483     Sibanye Stillwater Ltd     30,187,790  
     

 

 

 
    Total South Africa     89,728,367  
     

 

 

 
          South Korea — 0.1%      
    4,718     Young Poong Corp     2,759,597  
     

 

 

 
          Spain — 1.9%      
    2,962,343     Repsol SA *     45,739,528  
     

 

 

 
          Switzerland — 0.1%      
    17,507     Gurit Holding AG (a)     1,799,634  
     

 

 

 
          Turkey — 0.4%      
    4,355,741     Koza Anadolu Metal Madencilik  
    Isletmeleri AS *     10,662,624  
     

 

 

 
     Shares     Description   Value ($)  
          Ukraine — 0.1%      
    501,341     Kernel Holding SA     2,073,351  
     

 

 

 
          United Kingdom — 12.6%      
    1,343,901     Anglo American Plc     55,872,856  
    12,564,156     BP Plc     75,029,803  
    4,570,904     Ferrexpo Plc     7,961,635  
    11,800,437     Glencore Plc *     80,527,572  
    987,473     Serica Energy Plc     3,773,069  
    2,969,614     Shell Plc     86,908,129  
     

 

 

 
    Total United Kingdom     310,073,064  
     

 

 

 
          United States — 31.7%      
    993,524     Aemetis, Inc. *     5,474,317  
    432,500     AGCO Corp.     57,401,400  
    614,600     Alcoa Corp.     30,809,898  
    955,601     Ameresco, Inc. – Class A *     62,610,977  
    85,700     California Resources Corp.     3,889,066  
    3,736,966     Clean Energy Fuels Corp. *     25,261,890  
    645,500     Darling Ingredients, Inc. *     46,366,265  
    66,400     Deere & Co.     29,282,400  
    100,900     Exxon Mobil Corp.     11,234,206  
    1,090,582     Freeport-McMoRan, Inc.     43,405,164  
    2,733,082     GrafTech International Ltd.     14,758,643  
    1,105,893     Green Plains, Inc. *     38,219,662  
    350,100     Hess Corp.     50,382,891  
    17,575,601     Kosmos Energy Ltd. *     116,877,747  
    1,284,700     Livent Corp. *     35,958,753  
    247,900     Marathon Oil Corp.     7,593,177  
    819,321     Mosaic Co. (The)     42,031,167  
    277,200     PotlatchDeltic Corp. (REIT)     13,247,388  
    188,324     SolarEdge Technologies, Inc. *     56,282,511  
    2,478,166     Sunrun, Inc. *     80,738,648  
    620,332     TechnipFMC Plc *     7,692,117  
     

 

 

 
    Total United States     779,518,287  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $2,004,528,367)
      2,201,507,996  
     

 

 

 
          PREFERRED STOCKS (e) — 9.3%  
          Brazil — 7.6%      
    20,653,926     Bradespar SA     112,635,707  
    14,264,781     Petroleo Brasileiro SA     73,284,527  
     

 

 

 
    Total Brazil     185,920,234  
     

 

 

 
          Chile — 1.6%      
    397,795     Sociedad Quimica y Minera de Chile SA Sponsored ADR     39,445,352  
     

 

 

 
          Russia — 0.1%      
    20,237,584     Surgutneftegas PJSC (c)     576,170  
 


GMO Resources Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          Russia — continued      
    7,494,797     Tatneft PJSC (c)     3,027,886  
     

 

 

 
    Total Russia     3,604,056  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $254,586,808)
         228,969,642  
     

 

 

 
          MUTUAL FUNDS — 0.6%      
          United States — 0.6%      
          Affiliated Issuers — 0.6%      
    3,025,341     GMO U.S. Treasury Fund     15,066,200  
     

 

 

 
    Total United States     15,066,200  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $15,066,200)
    15,066,200  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%      
          Australia — 0.0%      
    314,154     Sandfire Resources Ltd., expires 12/08/22 * (f)      
     

 

 

 
    Total Australia      
     

 

 

 
          Singapore — 0.0%      
    2,117,812     Ezion Holdings Ltd, expires 04/16/23 * (a) (c)     2  
     

 

 

 
    Total Singapore     2  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
    2  
     

 

 

 
     Shares     Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.2%  
          Money Market Funds — 0.2%      
    5,563,233     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (g)     5,563,233  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $5,563,233)
    5,563,233  
     

 

 

 
    TOTAL INVESTMENTS — 99.6%
(Cost $2,279,744,608)
    2,451,107,073  
    Other Assets and Liabilities (net) — 0.4%     9,785,696  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $2,460,892,769  
     

 

 

 
 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
November 30, 2022
 
PhosAgro PJSC GDR    08/26/16    $ 93,496      0.0%   $ 16,095  
          

 

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

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

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

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

 

(d)

The security is restricted as to resale.

 

(e)

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

 

(f)

Investment valued using significant unobservable inputs.

 

(g)

The rate disclosed is the 7 day net yield as of November 30, 2022.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

PJSC - Private Joint-Stock Company

REIT - Real Estate Investment Trust

 


GMO Small Cap Quality Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 98.7%

 

          Automobiles & Components — 6.9%  
    35,746     Fox Factory Holding Corp. *     3,792,651  
    128,566     Gentex Corp.     3,715,557  
     

 

 

 
    Total Automobiles & Components     7,508,208  
     

 

 

 
          Banks — 2.5%  
    68,338     Essent Group Ltd.     2,739,670  
     

 

 

 
          Capital Goods — 21.3%  
    31,128     A O Smith Corp.     1,890,715  
    18,583     AAON, Inc.     1,472,889  
    18,953     Allegion PLC     2,154,008  
    20,492     Curtiss-Wright Corp.     3,619,912  
    39,861     Graco, Inc.     2,789,074  
    6,371     Kadant, Inc.     1,229,858  
    13,722     RBC Bearings, Inc. *     3,251,702  
    68,891     Trex Co., Inc. *     3,161,408  
    36,315     Woodward, Inc.     3,478,977  
     

 

 

 
    Total Capital Goods          23,048,543  
     

 

 

 
          Commercial & Professional Services — 5.4%  
    25,559     Booz Allen Hamilton Holding Corp.     2,719,478  
    18,119     FTI Consulting, Inc. *     3,131,325  
     

 

 

 
    Total Commercial & Professional Services     5,850,803  
     

 

 

 
          Consumer Durables & Apparel — 4.8%  
    41,173     Acushnet Holdings Corp.     1,871,313  
    30,242     Malibu Boats, Inc. – Class A *     1,745,266  
    9,870     TopBuild Corp. *     1,520,769  
     

 

 

 
    Total Consumer Durables & Apparel     5,137,348  
     

 

 

 
          Diversified Financials — 4.5%  
    15,268     Cohen & Steers, Inc.     1,011,505  
    39,334     Houlihan Lokey, Inc.     3,868,499  
     

 

 

 
    Total Diversified Financials     4,880,004  
     

 

 

 
          Food, Beverage & Tobacco — 6.3%  
    8,811     Boston Beer Co., Inc. (The) – Class A *     3,386,684  
    8,425     J & J Snack Foods Corp.     1,381,868  
    9,978     Lancaster Colony Corp.     2,066,843  
     

 

 

 
    Total Food, Beverage & Tobacco     6,835,395  
     

 

 

 
          Health Care Equipment & Services — 3.4%  
    49,121     Globus Medical, Inc. – Class A *     3,629,551  
     

 

 

 
          Insurance — 1.8%  
    6,728     Erie Indemnity Co. – Class A     1,899,920  
     

 

 

 
          Materials — 5.1%  
    32,644     AptarGroup, Inc.     3,464,834  
     Shares     Description   Value ($)  
          Materials — continued  
    14,190     Balchem Corp.     1,997,952  
     

 

 

 
    Total Materials     5,462,786  
     

 

 

 
          Media & Entertainment — 3.0%  
    88,898     New York Times Co. (The) – Class A     3,258,112  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life Sciences — 1.7%  
    26,872     Bruker Corp.     1,811,442  
     

 

 

 
          Retailing — 3.5%  
    55,944     Ollie’s Bargain Outlet Holdings, Inc. *     3,406,990  
    1,588     Winmark Corp.     381,120  
     

 

 

 
    Total Retailing     3,788,110  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 9.7%  
    55,963     Axcelis Technologies, Inc. *     4,469,205  
    48,533     Power Integrations, Inc.     3,905,936  
    18,970     Universal Display Corp.     2,136,401  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment          10,511,542  
     

 

 

 
          Software & Services — 5.8%  
    49,467     Dolby Laboratories, Inc. – Class A     3,703,594  
    54,640     Genpact Ltd.     2,519,451  
     

 

 

 
    Total Software & Services     6,223,045  
     

 

 

 
          Technology Hardware & Equipment — 5.9%  
    10,713     Badger Meter, Inc.     1,240,780  
    35,267     Ciena Corp. *     1,585,604  
    26,463     Fabrinet *     3,530,429  
     

 

 

 
    Total Technology Hardware & Equipment     6,356,813  
     

 

 

 
          Transportation — 7.1%  
    21,674     Landstar System, Inc.     3,749,168  
    16,342     Saia, Inc. *     3,980,748  
     

 

 

 
    Total Transportation     7,729,916  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $91,488,545)
    106,671,208  
     

 

 

 
          MUTUAL FUNDS — 0.6%  
          Affiliated Issuers — 0.6%  
    141,414     GMO U.S. Treasury Fund     704,241  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $704,241)
    704,241  
     

 

 

 
 


GMO Small Cap Quality Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          SHORT-TERM INVESTMENTS — 0.7%  
          Money Market Funds — 0.7%  
    720,737     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     720,737  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $720,737)
    720,737  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $92,913,523)
    108,096,186  
    Other Assets and Liabilities (net) — (0.0)%     (15,924
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $108,080,262  
     

 

 

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 97.2%  
          Australia — 4.3%      
    6,116     Accent Group Ltd     7,549  
    1,525     Ampol Ltd     29,730  
    11,504     Aurizon Holdings Ltd     29,900  
    2,101     BHP Group Ltd     65,247  
    10,634     BlueScope Steel Ltd     128,171  
    10,646     Brambles Ltd     88,062  
    1,921     Computershare Ltd     36,416  
    6,028     Fortescue Metals Group Ltd     80,231  
    12,342     GrainCorp Ltd – Class A     68,239  
    2,985     JB Hi-Fi Ltd     91,802  
    12,725     Rio Tinto Ltd     949,980  
    4,330     Sims Ltd     38,686  
     

 

 

 
    Total Australia         1,614,013  
     

 

 

 
          Belgium — 0.1%      
    1,131     Bekaert SA     40,387  
     

 

 

 
          Brazil — 0.9%      
    1,800     Arezzo Industria e Comercio SA     31,069  
    4,400     Banco do Brasil SA     29,914  
    10,200     BB Seguridade Participacoes SA     61,561  
    23,300     Cielo SA     21,507  
    3,800     Lojas Renner SA     16,952  
    7,500     Petroleo Brasileiro SA Sponsored ADR     87,675  
    36,100     TIM SA     90,435  
    5,200     Vibra Energia SA     16,564  
     

 

 

 
    Total Brazil     355,677  
     

 

 

 
          Denmark — 0.1%      
    1,228     Scandinavian Tobacco Group A/S     21,813  
     

 

 

 
          Finland — 0.9%      
    68,365     Nokia Oyj     336,828  
    216     UPM-Kymmene Oyj     7,930  
     

 

 

 
    Total Finland     344,758  
     

 

 

 
          France — 13.2%      
    598     Alten SA     75,578  
    17,325     Cie de Saint-Gobain     798,883  
    1,448     Coface SA     17,726  
    4,937     Derichebourg SA     26,708  
    1,742     Ipsen SA     194,730  
    1,111     IPSOS     63,557  
    385     Kaufman & Broad SA     10,396  
    343     Kering SA     206,087  
    2,641     Publicis Groupe SA     173,821  
    11,137     Sanofi     1,005,997  
    390     Societe BIC SA     25,765  
    15,244     Societe Generale SA     383,677  
    22,900     STMicroelectronics NV     890,352  
    2,457     Television Francaise 1     18,571  
     Shares     Description   Value ($)  
          France — continued      
    17,898     TotalEnergies SE     1,118,626  
     

 

 

 
    Total France     5,010,474  
     

 

 

 
          Germany — 3.8%      
    33     Aurubis AG     2,649  
    3,669     Bayer AG (Registered)     212,938  
    3,571     Bayerische Motoren Werke AG     324,242  
    207     Henkel AG & Co KGaA     13,772  
    84     Hornbach Holding AG & Co KGaA     6,663  
    432     HUGO BOSS AG     24,302  
    5,343     Kloeckner & Co SE     50,706  
    3,899     Merck KGaA     714,355  
    601     RTL Group SA     24,963  
    386     Volkswagen AG     74,517  
     

 

 

 
    Total Germany         1,449,107  
     

 

 

 
          Hong Kong — 1.0%      
    9,100     ASMPT Ltd     67,745  
    25,000     CK Asset Holdings Ltd     149,637  
    4,000     Johnson Electric Holdings Ltd     5,016  
    1,500     Techtronic Industries Co Ltd     18,285  
    1,800     VTech Holdings Ltd     11,480  
    222,000     WH Group Ltd     130,073  
     

 

 

 
    Total Hong Kong     382,236  
     

 

 

 
          India — 1.0%      
    3,359     Cipla Ltd     47,391  
    18,547     GAIL India Ltd     21,731  
    635     Hero MotoCorp Ltd     22,322  
    644     Hindustan Aeronautics Ltd     21,969  
    31,581     ITC Ltd     132,413  
    1,169     Rajesh Exports Ltd     11,090  
    67,001     REC Ltd     91,296  
    2,990     Sun Pharmaceutical Industries Ltd     38,820  
     

 

 

 
    Total India     387,032  
     

 

 

 
          Ireland — 0.4%      
    10,544     Bank of Ireland Group Plc     87,431  
    908     Kingspan Group Plc     51,544  
     

 

 

 
    Total Ireland     138,975  
     

 

 

 
          Italy — 0.5%      
    6,166     Anima Holding SPA     23,598  
    675     Banca IFIS SPA     9,303  
    1,005     Esprinet SPA     7,430  
    1,719     Leonardo SPA     13,792  
    128     Sesa SPA     16,078  
    9,143     Snam SPA     46,672  
    13,409     Unipol Gruppo SPA     68,591  
     

 

 

 
    Total Italy     185,464  
     

 

 

 
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    Japan — 23.7%  
    2,300     Advantest Corp     156,544  
    21,800     Asahi Kasei Corp     162,025  
    2,500     Bandai Namco Holdings Inc     165,651  
    7,500     Brother Industries Ltd     121,809  
    34,400     Canon Inc     804,090  
    700     Dai Nippon Printing Co Ltd     14,498  
    3,000     Daiwabo Holdings Co Ltd     47,863  
    600     Dexerials Corp     14,400  
    1,300     FUJIFILM Holdings Corp     69,930  
    3,100     Haseko Corp     34,278  
    30,400     ITOCHU Corp     954,775  
    46,700     Japan Tobacco Inc     955,453  
    28,400     KDDI Corp     844,746  
    72,800     Marubeni Corp     823,541  
    7,200     Mitsubishi Corp     242,490  
    13,000     Mitsubishi Motors Corp *     60,651  
    29,400     Mitsui & Co Ltd     853,297  
    7,900     NGK Spark Plug Co Ltd     154,788  
    1,000     Nichias Corp     17,748  
    4,600     Nikon Corp     44,977  
    29,400     Nippon Telegraph & Telephone Corp     815,232  
    500     Nitto Denko Corp     31,590  
    1,900     Ono Pharmaceutical Co Ltd     48,693  
    1,900     Sega Sammy Holdings Inc     25,337  
    4,700     Seiko Epson Corp     73,961  
    6,900     Sekisui Chemical Co Ltd     97,589  
    16,500     Sekisui House Ltd     308,941  
    600     Shimamura Co Ltd     54,473  
    14,220     Sojitz Corp     253,413  
    50,400     Sumitomo Chemical Co Ltd     183,750  
    6,500     Sumitomo Forestry Co Ltd     113,491  
    7,600     Toyota Tsusho Corp     293,382  
    900     Yakult Honsha Co Ltd     57,439  
    3,900     Yamaha Motor Co Ltd     97,694  
    300     Yokogawa Electric Corp     5,658  
     

 

 

 
    Total Japan         9,004,197  
     

 

 

 
          Malaysia — 0.0%      
    1,000     Malayan Banking Bhd     1,944  
     

 

 

 
          Netherlands — 7.0%      
    917     ASR Nederland NV     41,970  
    3,900     EXOR NV *     306,150  
    27,811     Koninklijke Ahold Delhaize NV     810,471  
    4,094     NN Group NV     174,963  
    9,133     Randstad NV     529,014  
    5,313     Signify NV     181,463  
    5,689     Wolters Kluwer NV     626,987  
     

 

 

 
    Total Netherlands     2,671,018  
     

 

 

 
          Norway — 2.6%      
    23,670     Equinor ASA     911,551  
    6,029     Norsk Hydro ASA     45,399  
     Shares     Description   Value ($)  
          Norway — continued      
    1,503     SpareBank 1 Nord Norge     14,009  
    879     SpareBank 1 SR-Bank ASA     10,648  
    4,556     XXL ASA     2,076  
     

 

 

 
    Total Norway            983,683  
     

 

 

 
          Poland — 0.2%      
    233     Asseco Poland SA     3,823  
    4,742     Polski Koncern Naftowy ORLEN SA     69,798  
     

 

 

 
    Total Poland     73,621  
     

 

 

 
          Portugal — 1.2%      
    7,992     Galp Energia SGPS SA     98,475  
    13,347     Jeronimo Martins SGPS SA     297,792  
    8,084     Navigator Co SA (The)     32,837  
    34,225     Sonae SGPS SA     34,768  
     

 

 

 
    Total Portugal     463,872  
     

 

 

 
          Russia — 0.0%      
    9,800     Surgutneftegas PJSC (a)     243  
     

 

 

 
          Singapore — 4.0%      
    32,799     DBS Group Holdings Ltd     855,357  
    2,900     Jardine Cycle & Carriage Ltd     64,681  
    38,000     Keppel Corp Ltd     212,098  
    800     Singapore Exchange Ltd     5,355  
    49,200     Wilmar International Ltd     149,249  
    221,300     Yangzijiang Shipbuilding Holdings Ltd     234,372  
     

 

 

 
    Total Singapore     1,521,112  
     

 

 

 
          South Africa — 0.1%      
    2,596     Aspen Pharmacare Holdings Ltd     21,543  
    11,423     Netcare Ltd     9,884  
    2,988     Truworths International Ltd     9,899  
     

 

 

 
    Total South Africa     41,326  
     

 

 

 
          South Korea — 2.0%      
    13,501     BNK Financial Group Inc     76,506  
    4,624     DGB Financial Group Inc     28,017  
    885     GS Holdings Corp     32,895  
    6,606     Hanwha Life Insurance Co Ltd *     12,764  
    611     Hyundai Glovis Co Ltd     82,888  
    523     Hyundai Mobis Co Ltd     85,604  
    3,097     KT&G Corp     234,997  
    582     LG Electronics Inc     43,917  
    61     LG Innotek Co Ltd     14,707  
    656     LOTTE Fine Chemical Co Ltd     31,422  
    464     LX International Corp     14,621  
    26     Samsung Electronics Co Ltd GDR (Registered)     30,884  
    494     SL Corp     10,671  
    1,041     Youngone Corp     37,931  
     

 

 

 
    Total South Korea     737,824  
     

 

 

 
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          Spain — 5.8%      
    17,127     Acerinox SA     169,438  
    169,683     Banco Bilbao Vizcaya Argentaria SA     999,949  
    593,652     Banco de Sabadell SA     554,304  
    480     Ebro Foods SA     7,585  
    6,938     Industria de Diseno Textil SA     181,108  
    16,292     Repsol SA     251,554  
    34,733     Unicaja Banco SA     35,909  
     

 

 

 
    Total Spain         2,199,847  
     

 

 

 
          Sweden — 0.5%      
    2,995     Investor AB – A Shares     57,668  
    230     Investor AB – B Shares     4,280  
    8,339     SSAB AB – A Shares     48,289  
    13,528     SSAB AB – B Shares     76,481  
     

 

 

 
    Total Sweden     186,718  
     

 

 

 
          Switzerland — 6.3%      
    92     ALSO Holding AG (Registered) *     17,003  
    446     DKSH Holding AG     33,629  
    2,162     Novartis AG (Registered)     192,320  
    200     Novartis AG Sponsored ADR     17,912  
    118     Roche Holding AG     47,402  
    3,857     Roche Holding AG – Genusschein     1,259,788  
    2,900     UBS Group AG (Registered) (b)     53,476  
    35,906     UBS Group AG (Registered) (b)     662,562  
    165     Vetropack Holding AG (Registered) – Class A     5,829  
    217     Zurich Insurance Group AG     104,255  
     

 

 

 
    Total Switzerland     2,394,176  
     

 

 

 
          Thailand — 1.7%      
    93,200     AP Thailand Pcl NVDR     26,829  
    18,900     Bangkok Bank Pcl NVDR     77,655  
    192,900     Bangkok Dusit Medical Services Pcl NVDR     166,177  
    7,700     Kiatnakin Phatra Bank Pcl NVDR     15,706  
    529,900     Krung Thai Bank Pcl NVDR     265,923  
    63,200     PTT Oil & Retail Business Pcl NVDR     43,843  
    649,600     Sansiri Pcl NVDR     29,075  
     

 

 

 
    Total Thailand     625,208  
     

 

 

 
          Turkey — 2.6%      
    377,929     Akbank TAS     353,512  
    13,636     Arcelik AS     67,691  
    43,063     Aselsan Elektronik Sanayi Ve Ticaret AS     112,688  
    3,483     Dogus Otomotiv Servis ve Ticaret AS     29,435  
    39,754     Haci Omer Sabanci Holding AS     90,418  
    6,176     KOC Holding AS     23,519  
    70,623     Turkiye Garanti Bankasi AS     102,119  
    133,185     Turkiye Is Bankasi AS – Class C     74,954  
    104,432     Turkiye Sinai Kalkinma Bankasi AS *     22,559  
    8,373     Vestel Elektronik Sanayi ve Ticaret AS *     26,984  
    109,290     Yapi ve Kredi Bankasi AS     70,932  
     

 

 

 
    Total Turkey     974,811  
     

 

 

 
     Shares     Description   Value ($)  
          United Kingdom — 13.3%      
    22,712     3i Group Plc     373,169  
    21,301     BAE Systems Plc     210,959  
    49,520     Barratt Developments Plc     239,468  
    4,024     Bellway Plc     97,780  
    13,000     BP Plc Sponsored ADR     466,700  
    5,866     British American Tobacco Plc     240,518  
    20,100     British American Tobacco Plc Sponsored ADR     829,527  
    214,149     BT Group Plc     315,123  
    12,470     Coca-Cola HBC AG *     305,027  
    300     Diageo Plc Sponsored ADR     55,965  
    403     Ferguson Plc     45,689  
    8,290     GSK Plc Sponsored ADR     286,751  
    8,040     IG Group Holdings Plc     79,978  
    32,320     Imperial Brands Plc     831,305  
    7,384     Investec Plc     46,635  
    16,503     Kingfisher Plc     48,261  
    297     Morgan Sindall Group Plc     5,871  
    3,728     Next Plc     266,429  
    5,740     Persimmon Plc     88,906  
    3,503     Plus500 Ltd     80,413  
    13,515     Redrow Plc     74,469  
    700     Rio Tinto Plc Sponsored ADR     48,048  
    6,565     Spirent Communications Plc     22,879  
     

 

 

 
    Total United Kingdom         5,059,870  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $32,977,988)
    36,869,406  
     

 

 

 
          PREFERRED STOCKS (c) — 1.5%      
          Brazil — 0.8%      
    18,700     Cia Energetica de Minas Gerais     41,369  
    70,200     Cia Paranaense de Energia – Class B     109,304  
    14,000     Gerdau SA Sponsored ADR     85,400  
    9,900     Itau Unibanco Holding SA Sponsored ADR     49,302  
    1,800     Petroleo Brasileiro SA Sponsored ADR     18,450  
     

 

 

 
    Total Brazil     303,825  
     

 

 

 
          Germany — 0.7%      
    1,061     Bayerische Motoren Werke AG     92,067  
    186     Draegerwerk AG & Co KGaA     8,430  
    2,222     Henkel AG & Co KGaA     158,932  
     

 

 

 
    Total Germany     259,429  
     

 

 

 
          South Korea — 0.0%      
    302     LG Electronics Inc     10,642  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $526,658)
    573,896  
     

 

 

 
 


GMO Tax-Managed International Equities Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 2.1%  
          United States — 2.1%      
          Affiliated Issuers — 2.1%      
    163,036     GMO U.S. Treasury Fund     811,918  
     

 

 

 
    Total United States     811,918  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $811,918)
    811,918  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.2%      
          Money Market Funds — 0.2%      
    79,575     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (d)     79,575  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $79,575)
    79,575  
     

 

 

 
          TOTAL INVESTMENTS — 101.0%
(Cost $34,396,139)
  38,334,795  
    Other Assets and Liabilities (net) — (1.0)%     (388,778
     

 

 

 
    TOTAL NET ASSETS — 100.0%   $ 37,946,017  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Futures Contracts

 

Number
of
Contracts +

  Type   Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
3   MSCI EAFE   December 2022   $ 296,970     $ 4,800  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

As of November 30, 2022, for the above contracts and/or agreements, the Fund had sufficient cash and/or securities to cover commitments or collateral requirements, if any, of the relevant broker or exchange.

 

Notes to Schedule of Investments:

 

*

Non-income producing security.

 

(a)

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

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(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, 2022.

Portfolio Abbreviations:

ADR - American Depositary Receipt

GDR - Global Depositary Receipt

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 98.3%  
          Automobiles & Components — 0.4%      
    10,500     Aptiv PLC *     1,120,035  
    4,300     Modine Manufacturing Co. *     91,031  
    9,600     Standard Motor Products, Inc.     368,736  
     

 

 

 
    Total Automobiles & Components     1,579,802  
     

 

 

 
          Banks — 0.5%      
    21,692     Associated Banc-Corp.     533,623  
    12,800     Farmers National Banc Corp.     194,688  
    8,900     Hanmi Financial Corp.     240,745  
    4,100     Independent Bank Corp.     100,614  
    12,100     Radian Group, Inc.     236,797  
    34,200     Regions Financial Corp.     793,782  
     

 

 

 
    Total Banks     2,100,249  
     

 

 

 
          Capital Goods — 7.4%      
    6,700     3M Co.     843,999  
    3,300     Allison Transmission Holdings, Inc.     147,840  
    5,800     AMETEK, Inc.     826,036  
    2,000     Apogee Enterprises, Inc.     96,500  
    5,202     Carlisle Cos., Inc.     1,368,698  
    142,153     Carrier Global Corp.     6,300,221  
    1,600     Cummins, Inc.     401,856  
    8,900     Eaton Corp. Plc     1,454,705  
    1,400     Emerson Electric Co.     134,078  
    2,400     Encore Wire Corp.     350,664  
    19,200     Fortune Brands Home & Security, Inc.     1,254,528  
    18,900     Griffon Corp.     667,359  
    3,400     Moog, Inc. – Class A     295,902  
    32,500     MRC Global, Inc. *     382,200  
    13,183     Mueller Industries, Inc.     906,595  
    48,000     PACCAR, Inc.     5,083,680  
    38,100     Resideo Technologies, Inc. *     617,220  
    2,600     Timken Co. (The)     197,548  
    21,948     Trane Technologies Plc     3,915,962  
    7,636     UFP Industries, Inc.     625,083  
    9,315     WW Grainger, Inc.     5,617,504  
     

 

 

 
    Total Capital Goods         31,488,178  
     

 

 

 
          Commercial & Professional Services — 1.0%  
    95,700     ACCO Brands Corp.     533,049  
    7,400     CBIZ, Inc. *     367,410  
    9,600     Deluxe Corp.     185,664  
    2,700     Heidrick & Struggles International, Inc.     80,190  
    11,900     ICF International, Inc.     1,289,603  
    7,200     Kforce, Inc.     425,304  
    5,700     Republic Services, Inc. – Class A     793,953  
    19,300     Resources Connection, Inc.     372,490  
    3,000     TrueBlue, Inc. *     64,740  
     

 

 

 
    Total Commercial & Professional Services     4,112,403  
     

 

 

 
     Shares     Description   Value ($)  
          Consumer Durables & Apparel — 4.7%      
    34,400     Acushnet Holdings Corp.     1,563,480  
    5,500     Beazer Homes USA, Inc. *     75,075  
    1,700     Brunswick Corp.     126,140  
    5,200     Carter’s, Inc.     379,808  
    6,100     Columbia Sportswear Co.     546,499  
    29,000     Ethan Allen Interiors, Inc.     825,050  
    52,841     Garmin Ltd.     4,913,684  
    12,500     G-III Apparel Group Ltd. *     270,375  
    46,681     La-Z-Boy, Inc.     1,271,124  
    3,000     Lennar Corp. – Class B     217,830  
    3,500     M/I Homes, Inc. *     158,130  
    6,200     MasterCraft Boat Holdings, Inc. *     159,464  
    8,500     Meritage Homes Corp. *     734,485  
    5,300     Movado Group, Inc.     170,607  
    5,700     Oxford Industries, Inc.     643,302  
    28,200     PVH Corp.     1,894,476  
    87,600     Taylor Morrison Home Corp. – Class A *     2,662,164  
    88,652     TRI Pointe Homes, Inc. *     1,634,743  
    11,800     Whirlpool Corp.     1,729,054  
     

 

 

 
    Total Consumer Durables & Apparel     19,975,490  
     

 

 

 
          Consumer Services — 0.4%      
    6,300     Adtalem Global Education, Inc. *     262,080  
    1,300     Graham Holdings Co. – Class B     836,784  
    52,975     Perdoceo Education Corp. *     760,191  
     

 

 

 
    Total Consumer Services     1,859,055  
     

 

 

 
          Diversified Financials — 6.8%      
    42,600     American Express Co.     6,713,334  
    8,800     Ameriprise Financial, Inc.     2,921,160  
    93,900     Bank of New York Mellon Corp. (The)     4,310,010  
    14,500     Berkshire Hathaway, Inc. – Class B *     4,619,700  
    20,100     Discover Financial Services     2,178,036  
    18,300     Donnelley Financial Solutions, Inc. *     698,694  
    29,043     Enova International, Inc. *     1,171,595  
    100     Intercontinental Exchange, Inc.     10,831  
    53,000     Janus Henderson Group Plc     1,340,370  
    4,500     LPL Financial Holdings, Inc.     1,065,195  
    3,700     Nelnet, Inc. – Class A     364,598  
    2,200     Oppenheimer Holdings, Inc. – Class A     91,652  
    3,247     PROG Holdings, Inc. *     63,934  
    34,623     State Street Corp.     2,758,414  
    8,000     Synchrony Financial     300,640  
     

 

 

 
    Total Diversified Financials         28,608,163  
     

 

 

 
          Energy — 6.7%      
    57,000     Chevron Corp.     10,448,670  
    1,057     Chord Energy Corp.     161,224  
    7,000     EOG Resources, Inc.     993,510  
    101,000     Exxon Mobil Corp.     11,245,340  
    6,400     Gulfport Energy Corp. *     518,976  
    4,300     Hess Corp.     618,813  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          Energy — continued      
    54,300     Kosmos Energy Ltd. *     361,095  
    8,800     Marathon Petroleum Corp.     1,071,928  
    23,100     Phillips 66     2,504,964  
    900     Valero Energy Corp.     120,258  
    6,400     World Fuel Services Corp.     182,080  
     

 

 

 
    Total Energy     28,226,858  
     

 

 

 
          Food & Staples Retailing — 3.4%      
    8,300     Costco Wholesale Corp.     4,475,775  
    135,745     Kroger Co. (The)     6,677,297  
    12,400     SpartanNash Co.     407,340  
    18,000     Walmart, Inc.     2,743,560  
    1,500     Weis Markets, Inc.     130,815  
     

 

 

 
    Total Food & Staples Retailing     14,434,787  
     

 

 

 
          Food, Beverage & Tobacco — 6.4%      
    2,700     Archer-Daniels-Midland Co.     263,250  
    95,100     General Mills, Inc.     8,112,030  
    29,900     Hershey Co. (The)     7,031,583  
    14,600     Kellogg Co.     1,065,070  
    54,600     Keurig Dr Pepper, Inc.     2,111,382  
    49,200     Kraft Heinz Co. (The)     1,936,020  
    23,000     PepsiCo, Inc.     4,266,730  
    4,800     Tyson Foods, Inc. – Class A     318,144  
    33,465     Universal Corp.     1,904,493  
     

 

 

 
    Total Food, Beverage & Tobacco         27,008,702  
     

 

 

 
          Health Care Equipment & Services — 5.4%      
    9,141     AmerisourceBergen Corp.     1,560,277  
    20,800     Centene Corp. *     1,810,640  
    17,000     Cigna Corp.     5,591,130  
    5,400     CVS Health Corp.     550,152  
    5,800     Edwards Lifesciences Corp. *     448,050  
    6,700     Elevance Health, Inc.     3,570,564  
    8,600     Humana, Inc.     4,729,140  
    4,100     UnitedHealth Group, Inc.     2,245,816  
    19,200     Zimmer Biomet Holdings, Inc.     2,305,920  
     

 

 

 
    Total Health Care Equipment & Services     22,811,689  
     

 

 

 
          Household & Personal Products — 0.1%      
    2,600     Kimberly-Clark Corp.     352,638  
     

 

 

 
          Insurance — 1.6%      
    2,086     Allstate Corp. (The)     279,316  
    58,700     Genworth Financial, Inc. – Class A *     295,261  
    37,400     Progressive Corp. (The)     4,942,410  
    26,863     Stewart Information Services Corp.     1,188,956  
    500     Travelers Cos., Inc. (The)     94,905  
     

 

 

 
    Total Insurance     6,800,848  
     

 

 

 
          Materials — 2.8%      
    20,800     AdvanSix, Inc.     856,128  
    38,000     Corteva, Inc.     2,552,080  
     Shares     Description   Value ($)  
          Materials — continued      
    50,400     Huntsman Corp.     1,400,112  
    3,100     Ingevity Corp. *     242,637  
    27,100     Mercer International, Inc.     373,980  
    3,673     NewMarket Corp.     1,160,742  
    14,396     Reliance Steel & Aluminum Co.     3,041,731  
    12,800     Ryerson Holding Corp.     377,472  
    12,874     Stepan Co.     1,436,352  
    5,100     Valvoline, Inc.     168,198  
    10,800     Warrior Met Coal, Inc.     397,656  
     

 

 

 
    Total Materials     12,007,088  
     

 

 

 
          Media & Entertainment — 6.7%      
    58,860     Alphabet, Inc. – Class C *     5,971,347  
    59,700     Alphabet, Inc. – Class A *     6,029,103  
    16,700     AMC Networks, Inc. – Class A *     333,332  
    35,400     Cars.com, Inc. *     523,212  
    252,633     Comcast Corp. – Class A     9,256,473  
    39,042     Electronic Arts, Inc.     5,105,913  
    11,500     Fox Corp. – Class B     350,980  
    5,800     News Corp. – Class B     112,810  
    2,400     Scholastic Corp.     98,688  
    2,200     Shutterstock, Inc.     118,404  
    17,018     TEGNA, Inc.     335,935  
    7,300     Yelp, Inc. *     225,935  
     

 

 

 
    Total Media & Entertainment         28,462,132  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life Sciences — 6.2%  
    3,500     Agilent Technologies, Inc.     542,430  
    1,200     Biogen, Inc. *     366,204  
    61,241     Bristol-Myers Squibb Co.     4,916,427  
    12,600     Gilead Sciences, Inc.     1,106,658  
    30,200     Johnson & Johnson     5,375,600  
    118,850     Merck & Co., Inc.     13,087,762  
    9,795     Prestige Consumer Healthcare, Inc. *     602,001  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     25,997,082  
     

 

 

 
          Real Estate — 0.1%      
    5,600     CBRE Group, Inc. – Class A *     445,760  
     

 

 

 
          Retailing — 9.2%      
    4,900     1-800-Flowers.com, Inc. – Class A *     41,454  
    8,400     Aaron’s Co., Inc. (The)     102,396  
    13,880     Amazon.com, Inc. *     1,339,975  
    800     AutoZone, Inc. *     2,063,200  
    11,400     Caleres, Inc.     275,424  
    14,000     Chico’s FAS, Inc. *     82,180  
    16,000     Container Store Group , Inc. (The) *     76,000  
    32,300     Designer Brands, Inc. – Class A     494,190  
    10,600     Dollar General Corp.     2,710,208  
    134,000     eBay, Inc.     6,088,960  
    4,300     Genesco, Inc. *     224,460  
    9,200     Genuine Parts Co.     1,686,636  
 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          Retailing — continued      
    10,454     Group 1 Automotive, Inc.     2,021,177  
    8,700     Haverty Furniture Cos., Inc.     274,311  
    31,400     Home Depot, Inc. (The)     10,173,286  
    13,700     ODP Corp. (The) *     659,381  
    11,396     Penske Automotive Group, Inc.     1,441,024  
    15,978     Qurate Retail, Inc. – Series A – Series A *     37,548  
    10,800     Shoe Carnival, Inc.     285,228  
    32,100     Signet Jewelers Ltd.     2,086,500  
    12,800     Tractor Supply Co.     2,896,768  
    1,900     TravelCenters of America, Inc. *     97,185  
    8,500     Ulta Beauty, Inc. *     3,951,140  
     

 

 

 
    Total Retailing     39,108,631  
     

 

 

 
          Semiconductors & Semiconductor Equipment — 8.1%  
    2,800     Applied Materials, Inc.     306,880  
    5,000     Axcelis Technologies, Inc. *     399,300  
    6,292     Cirrus Logic, Inc. *     470,075  
    230,443     Intel Corp.     6,929,421  
    28,800     Kulicke & Soffa Industries, Inc.     1,380,960  
    67,100     Microchip Technology, Inc.     5,313,649  
    35,100     NXP Semiconductors NV     6,171,984  
    54,700     ON Semiconductor Corp. *     4,113,440  
    71,900     QUALCOMM, Inc.     9,094,631  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment         34,180,340  
     

 

 

 
          Software & Services — 8.3%      
    11,700     Automatic Data Processing, Inc.     3,090,438  
    35,022     Cadence Design Systems, Inc. *     6,025,185  
    12,900     CSG Systems International, Inc.     797,736  
    1,600     International Business Machines Corp.     238,240  
    57,219     Microsoft Corp.     14,598,856  
    20,100     Oracle Corp.     1,668,903  
    4,400     Roper Technologies, Inc.     1,931,116  
    20,374     Synopsys, Inc. *     6,917,788  
     

 

 

 
    Total Software & Services     35,268,262  
     

 

 

 
          Technology Hardware & Equipment — 11.6%  
    158,524     Apple, Inc.     23,466,308  
    6,500     Arista Networks, Inc. *     905,450  
    10,737     Arrow Electronics, Inc. *     1,167,541  
    16,622     Avnet, Inc.     750,816  
    4,700     Bel Fuse, Inc. – Class B     161,868  
    300     CTS Corp.     12,750  
    39,900     Dell Technologies, Inc. – Class C     1,787,121  
    215,600     Hewlett Packard Enterprise Co.     3,617,768  
    242,444     HP, Inc.     7,283,018  
    34,700     Keysight Technologies, Inc. *     6,276,883  
    1,000     Motorola Solutions, Inc.     272,200  
    6,100     National Instruments Corp.     250,222  
    2,900     Sanmina Corp. *     191,661  
    25,500     Super Micro Computer, Inc. *     2,300,865  
    5,600     TTM Technologies, Inc. *     89,992  
    6,600     Vontier Corp.     129,558  
     Shares     Description   Value ($)  
          Technology Hardware & Equipment — continued  
    15,695     Xerox Holdings Corp.     255,985  
     

 

 

 
    Total Technology Hardware & Equipment     48,920,006  
     

 

 

 
          Telecommunication Services — 0.2%      
    26,240     Verizon Communications, Inc.     1,022,835  
     

 

 

 
          Transportation — 0.3%      
    7,500     Hub Group, Inc. – Class A *     631,125  
    25,600     Schneider National, Inc. – Class B     659,456  
     

 

 

 
    Total Transportation     1,290,581  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $389,920,317)
    416,061,579  
     

 

 

 
          MUTUAL FUNDS — 1.3%      
          Affiliated Issuers — 1.3%      
    1,104,418     GMO U.S. Treasury Fund     5,500,000  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $5,500,000)
    5,500,000  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%      
          Money Market Funds — 0.1%      
    555,139     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     555,139  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $555,139)
    555,139  
     

 

 

 
    TOTAL INVESTMENTS — 99.7%
(Cost $395,975,456)
    422,116,718  
    Other Assets and Liabilities (net) — 0.3%     1,126,266  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $423,242,984  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
27   S&P 500 E-Mini   December 2022   $ 5,509,688     $ 238,996  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 


GMO U.S. Equity Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

As of November 30, 2022, 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, 2022.


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    COMMON STOCKS — 96.5%  
          Automobiles & Components — 0.2%      
    4,600     Modine Manufacturing Co. *     97,382  
    2,000     Standard Motor Products, Inc.     76,820  
     

 

 

 
    Total Automobiles & Components     174,202  
     

 

 

 
          Banks — 9.2%      
    5,706     1st Source Corp.     325,813  
    10,925     Amalgamated Financial Corp.     291,370  
    1,527     Arrow Financial Corp.     53,705  
    73,899     Associated Banc-Corp.     1,817,915  
    7,600     Atlantic Union Bankshares Corp.     271,092  
    3,600     BCB Bancorp, Inc.     67,860  
    2,800     Camden National Corp.     122,584  
    600     Capital City Bank Group, Inc.     21,120  
    12,200     Cathay General Bancorp     566,934  
    3,400     Central Valley Community Bancorp     69,360  
    2,570     Civista Bancshares, Inc.     58,750  
    4,167     CNB Financial Corp.     106,467  
    4,996     Community Trust Bancorp, Inc.     239,358  
    500     Enterprise Financial Services Corp.     26,170  
    4,700     Farmers National Banc Corp.     71,487  
    6,304     Financial Institutions, Inc.     159,617  
    1,800     First Commonwealth Financial Corp.     26,496  
    3,105     First Community Bankshares, Inc.     114,730  
    4,498     First Financial Bancorp     118,882  
    4,100     First Financial Corp.     197,087  
    1,700     Great Southern Bancorp, Inc.     106,505  
    14,489     Hanmi Financial Corp.     391,927  
    6,800     Heritage Financial Corp.     223,720  
    30,000     Hope Bancorp, Inc.     408,600  
    3,100     Horizon Bancorp, Inc.     50,406  
    8,191     Independent Bank Corp.     201,007  
    1,800     LCNB Corp.     32,832  
    1,436     Mercantile Bank Corp.     49,987  
    4,800     Midland States Bancorp, Inc.     129,168  
    2,700     MidWestOne Financial Group, Inc.     94,203  
    1,900     NBT Bancorp, Inc.     87,704  
    600     Northrim BanCorp, Inc.     33,366  
    8,180     OFG Bancorp     236,975  
    4,500     QCR Holdings, Inc.     236,745  
    66,700     Radian Group, Inc.     1,305,319  
    1,113     Republic Bancorp, Inc. – Class A     49,050  
    15,296     Towne Bank     494,061  
    2,300     Trustmark Corp.     84,134  
    13,867     Waterstone Financial, Inc.     232,272  
     

 

 

 
    Total Banks         9,174,778  
     

 

 

 
          Capital Goods — 10.3%      
    42,000     Allison Transmission Holdings, Inc.     1,881,600  
    7,500     Apogee Enterprises, Inc.     361,875  
    6,171     Applied Industrial Technologies, Inc.     817,596  
    1,681     Ducommun, Inc. *     84,571  
     Shares     Description   Value ($)  
          Capital Goods — continued      
    800     Global Industrial Co.     19,688  
    18,800     Griffon Corp.     663,828  
    10,370     Hyster-Yale Materials Handling, Inc.     303,634  
    1,347     Insteel Industries, Inc.     39,723  
    1,968     Miller Industries, Inc.     54,297  
    12,319     Moog, Inc. – Class A     1,072,123  
    40,000     MRC Global, Inc. *     470,400  
    27,355     Mueller Industries, Inc.     1,881,203  
    39,200     NOW, Inc. *     489,216  
    6,252     Park-Ohio Holdings Corp.     83,464  
    1,396     Preformed Line Products Co.     131,699  
    15,595     Primoris Services Corp.     332,953  
    4,300     Quanex Building Products Corp.     102,211  
    32,135     Resideo Technologies, Inc. *     520,587  
    1,100     Rush Enterprises, Inc. – Class B     58,289  
    800     Standex International Corp.     84,040  
    4,000     Tennant Co.     254,120  
    600     Timken Co. (The)     45,588  
    1,319     UFP Industries, Inc.     107,973  
    9,548     V2X, Inc. *     385,835  
     

 

 

 
    Total Capital Goods     10,246,513  
     

 

 

 
          Commercial & Professional Services — 5.0%      
    120,749     ACCO Brands Corp.     672,572  
    1,600     Barrett Business Services, Inc.     157,328  
    5,700     Brady Corp. – Class A     273,030  
    9,800     CBIZ, Inc. *     486,570  
    24,279     Deluxe Corp.     469,556  
    3,500     DLH Holdings Corp. *     49,000  
    6,000     Ennis, Inc.     139,380  
    8,571     Heidrick & Struggles International, Inc.     254,559  
    4,034     HNI Corp.     116,986  
    5,000     ICF International, Inc.     541,850  
    5,118     Interface, Inc.     55,428  
    24,400     Kelly Services, Inc. – Class A     414,556  
    30,573     Kimball International, Inc. – Class B     218,902  
    19,600     Quad/Graphics, Inc. *     72,520  
    26,890     Resources Connection, Inc.     518,977  
    64,493     Steelcase, Inc. – Class A     511,429  
     

 

 

 
    Total Commercial & Professional Services         4,952,643  
     

 

 

 
          Consumer Durables & Apparel — 6.8%      
    16,400     Acushnet Holdings Corp.     745,380  
    4,300     Bassett Furniture Industries, Inc.     81,657  
    2,652     Clarus Corp.     22,065  
    37,277     Ethan Allen Interiors, Inc.     1,060,531  
    15,500     G-III Apparel Group Ltd. *     335,265  
    4,846     Hooker Furniture Corp.     82,430  
    2,722     Johnson Outdoors, Inc. – Class A     153,956  
    34,191     La-Z-Boy, Inc.     931,021  
    6,200     MasterCraft Boat Holdings, Inc. *     159,464  
    20,435     Movado Group, Inc.     657,803  
    3,100     Oxford Industries, Inc.     349,866  
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          Consumer Durables & Apparel — continued      
    42,700     Taylor Morrison Home Corp. – Class A *     1,297,653  
    35,592     TRI Pointe Homes, Inc. *     656,316  
    4,969     Universal Electronics, Inc. *     108,672  
    29,851     Vera Bradley, Inc. *     113,434  
    4,100     VOXX International Corp. *     45,059  
     

 

 

 
    Total Consumer Durables & Apparel     6,800,572  
     

 

 

 
          Consumer Services — 1.6%      
    4,400     Adtalem Global Education, Inc. *     183,040  
    1,252     Graham Holdings Co. – Class B     805,887  
    11,100     Lincoln Educational Services Corp. *     73,371  
    33,100     Perdoceo Education Corp. *     474,985  
     

 

 

 
    Total Consumer Services     1,537,283  
     

 

 

 
          Diversified Financials — 5.0%      
    11,500     A-Mark Precious Metals, Inc.     396,750  
    29,771     Curo Group Holdings Corp.     106,282  
    608     Diamond Hill Investment Group, Inc.     108,200  
    37,504     Donnelley Financial Solutions, Inc. *     1,431,903  
    34,509     Enova International, Inc. *     1,392,093  
    700     Federated Hermes, Inc.     26,572  
    9,000     Green Dot Corp. *     183,420  
    4,700     Nelnet, Inc. – Class A     463,138  
    7,600     Oppenheimer Holdings, Inc. – Class A     316,616  
    4,600     Regional Management Corp.     135,424  
    3,500     StoneX Group, Inc. *     355,145  
    3,814     Westwood Holdings Group, Inc.     45,844  
     

 

 

 
    Total Diversified Financials         4,961,387  
     

 

 

 
          Energy — 5.7%      
    2,700     Brigham Minerals, Inc.     95,661  
    12,300     California Resources Corp.     558,174  
    26,060     Evolution Petroleum Corp.     188,414  
    10,000     Gulfport Energy Corp. *     810,900  
    66,400     Kosmos Energy Ltd. *     441,560  
    3,300     Murphy Oil Corp.     155,760  
    66,900     Oil States International, Inc. *     451,575  
    7,800     Penn Virginia Corp.     339,846  
    35,700     Plains GP Holdings LP – Class A     472,311  
    90,100     VAALCO Energy, Inc.     466,718  
    57,397     World Fuel Services Corp.     1,632,944  
     

 

 

 
    Total Energy     5,613,863  
     

 

 

 
          Food & Staples Retailing — 1.9%      
    5,601     Ingles Markets, Inc. – Class A     566,261  
    7,800     Natural Grocers by Vitamin Cottage, Inc.     78,624  
    21,409     SpartanNash Co.     703,286  
    1,500     Village Super Market, Inc. – Class A     33,810  
    5,700     Weis Markets, Inc.     497,097  
     

 

 

 
    Total Food & Staples Retailing     1,879,078  
     

 

 

 
     Shares     Description   Value ($)  
    Food, Beverage & Tobacco — 1.9%  
    2,844     Seneca Foods Corp. – Class A *     182,812  
    24,059     Universal Corp.     1,369,198  
    31,200     Vector Group Ltd.     346,320  
     

 

 

 
    Total Food, Beverage & Tobacco     1,898,330  
     

 

 

 
          Health Care Equipment & Services — 2.8%      
    19,800     Allscripts Healthcare Solutions, Inc. *     375,012  
    800     AMN Healthcare Services, Inc. *     98,960  
    4,200     Avanos Medical, Inc. *     112,980  
    3,100     Computer Programs & Systems, Inc. *     91,760  
    28,700     Eargo, Inc. *     18,230  
    2,219     FONAR Corp. *     41,762  
    6,700     HealthStream, Inc. *     170,180  
    1,958     LENSAR, Inc. *     6,481  
    12,700     MEDNAX, Inc. *     202,946  
    3,500     Meridian Bioscience, Inc. *     112,000  
    1,800     National HealthCare Corp.     110,952  
    6,700     NextGen Healthcare, Inc. *     139,360  
    2,700     Owens & Minor, Inc.     55,647  
    36,500     Patterson Cos., Inc.     1,038,060  
    9,500     Select Medical Holdings Corp.     233,510  
     

 

 

 
    Total Health Care Equipment & Services     2,807,840  
     

 

 

 
          Household & Personal Products — 0.0%      
    6,943     Lifevantage Corp.     25,967  
     

 

 

 
          Insurance — 3.2%      
    57,900     CNO Financial Group, Inc.     1,359,492  
    103,000     Genworth Financial, Inc. – Class A *     518,090  
    8,780     GoHealth, Inc. *     114,141  
    22,190     Stewart Information Services Corp.     982,129  
    15,400     Universal Insurance Holdings, Inc.     169,246  
     

 

 

 
    Total Insurance         3,143,098  
     

 

 

 
          Materials — 9.7%      
    18,248     AdvanSix, Inc.     751,088  
    14,208     American Vanguard Corp.     326,784  
    200     Greif, Inc. – Class B     15,028  
    30,400     Huntsman Corp.     844,512  
    4,800     Innospec, Inc.     532,272  
    13,419     Koppers Holdings, Inc.     399,752  
    39,013     Mativ Holdings, Inc.     810,300  
    24,380     Mercer International, Inc.     336,444  
    3,800     Myers Industries Inc.     88,692  
    3,300     NewMarket Corp.     1,042,866  
    6,700     O-I Glass, Inc. *     109,947  
    3,500     Olympic Steel, Inc.     122,815  
    10,800     Pactiv Evergreen, Inc.     125,712  
    6,300     Reliance Steel & Aluminum Co.     1,331,127  
    21,800     Ryerson Holding Corp.     642,882  
    5,200     Stepan Co.     580,164  
    42,400     Warrior Met Coal, Inc.     1,561,168  
     

 

 

 
    Total Materials     9,621,553  
     

 

 

 
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    Media & Entertainment — 3.8%  
    35,300     AMC Networks, Inc. – Class A *     704,588  
    1,183     DHI Group, Inc. *     6,648  
    1,500     John Wiley & Sons, Inc. – Class A     71,115  
    3,100     Lee Enterprises, Inc. *     55,800  
    10,500     Scholastic Corp.     431,760  
    9,200     Sciplay Corp. – Class A *     147,384  
    73,390     TEGNA, Inc.     1,448,719  
    28,100     Yelp, Inc. *     869,695  
     

 

 

 
    Total Media & Entertainment     3,735,709  
     

 

 

 
          Pharmaceuticals, Biotechnology & Life Sciences — 2.4%  
    1,200     Ionis Pharmaceuticals, Inc. *     48,948  
    300     Phibro Animal Health Corp. – Class A     3,693  
    2,200     Pliant Therapeutics, Inc. *     40,436  
    36,820     Prestige Consumer Healthcare, Inc. *     2,262,957  
     

 

 

 
    Total Pharmaceuticals, Biotechnology & Life Sciences     2,356,034  
     

 

 

 
          Real Estate — 4.4%      
    149,582     Anywhere Real Estate, Inc. *     1,129,344  
    12,400     Apple Hospitality REIT, Inc.     211,544  
    159,900     Diversified Healthcare Trust (REIT)     158,301  
    6,881     Five Point Holdings LLC – Class A *     14,863  
    5,770     Forestar Group, Inc. *     85,569  
    2,500     Hersha Hospitality Trust (REIT)     24,075  
    10,700     Marcus & Millichap, Inc.     398,468  
    17,214     Newmark Group, Inc. – Class A     145,975  
    48,200     Piedmont Office Realty Trust, Inc. – Class A (REIT)     501,762  
    26,100     PotlatchDeltic Corp. (REIT)     1,247,319  
    4,100     RMR Group, Inc. (The) – Class A     118,531  
    7,900     Service Properties Trust (REIT)     62,015  
    2,800     Whitestone REIT     27,244  
    18,000     Xenia Hotels & Resorts, Inc. (REIT)     277,560  
     

 

 

 
    Total Real Estate         4,402,570  
     

 

 

 
          Retailing — 7.3%      
    12,500     Aaron’s Co., Inc. (The)     152,375  
    4,120     Cato Corp. (The) – Class A     42,848  
    29,800     Chico’s FAS, Inc. *     174,926  
    39,200     Container Store Group , Inc. (The) *     186,200  
    54,900     Designer Brands, Inc. – Class A     839,970  
    18,287     Genesco, Inc. *     954,582  
    13,294     Group 1 Automotive, Inc.     2,570,262  
    19,994     Haverty Furniture Cos., Inc.     630,411  
    10,100     Lands’ End, Inc. *     116,756  
    7,300     ODP Corp. (The) *     351,349  
    1,013     Penske Automotive Group, Inc.     128,094  
    27,796     Shoe Carnival, Inc.     734,092  
    5,500     Signet Jewelers Ltd.     357,500  
    1,194     Weyco Group, Inc.     30,566  
     

 

 

 
    Total Retailing     7,269,931  
     

 

 

 
     Shares     Description   Value ($)  
    Semiconductors & Semiconductor Equipment — 3.0%

 

    40,700     Amkor Technology, Inc.     1,140,414  
    3,700     Axcelis Technologies, Inc. *     295,482  
    8,300     Cirrus Logic, Inc. *     620,093  
    19,400     Kulicke & Soffa Industries, Inc.     930,230  
     

 

 

 
    Total Semiconductors & Semiconductor Equipment     2,986,219  
     

 

 

 
          Software & Services — 0.0%      
    200     CSG Systems International, Inc.     12,368  
     

 

 

 
          Technology Hardware & Equipment — 9.0%      
    44,013     Avnet, Inc.     1,988,067  
    3,400     Bel Fuse, Inc. – Class B     117,096  
    14,219     Benchmark Electronics, Inc.     410,503  
    7,100     CommScope Holding Co., Inc. *     63,048  
    14,161     CTS Corp.     601,842  
    21,200     Daktronics, Inc. *     73,140  
    400     ePlus, Inc. *     19,864  
    10,678     Kimball Electronics, Inc. *     246,555  
    12,600     Knowles Corp. *     196,560  
    6,900     National Instruments Corp.     283,038  
    2,300     PC Connection, Inc.     127,765  
    16,545     Sanmina Corp. *     1,093,459  
    7,053     ScanSource, Inc. *     210,603  
    21,244     Super Micro Computer, Inc. *     1,916,846  
    7,400     TTM Technologies, Inc. *     118,918  
    1,300     Vishay Intertechnology, Inc.     29,952  
    700     Vishay Precision Group Inc. *     28,399  
    88,122     Xerox Holdings Corp.     1,437,270  
     

 

 

 
    Total Technology Hardware & Equipment         8,962,925  
     

 

 

 
          Telecommunication Services — 1.0%      
    2,900     ATN International, Inc.     140,389  
    17,121     Spok Holdings, Inc.     139,022  
    58,332     Telephone & Data Systems, Inc.     614,819  
    3,352     United States Cellular Corp. *     71,264  
     

 

 

 
    Total Telecommunication Services     965,494  
     

 

 

 
          Transportation — 2.3%      
    11,400     Hub Group, Inc. – Class A *     959,310  
    50,300     Schneider National, Inc. – Class B     1,295,728  
     

 

 

 
    Total Transportation     2,255,038  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $89,780,156)
    95,783,395  
     

 

 

 
          MUTUAL FUNDS — 2.8%      
          Affiliated Issuers — 2.8%      
    550,767     GMO U.S. Treasury Fund     2,742,822  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $2,742,822)
    2,742,822  
     

 

 

 
 


GMO U.S. Small Cap Value Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    RIGHTS/WARRANTS — 0.0%  
          Pharmaceuticals, Biotechnology & Life Sciences — 0.0%  
    72,700     Achillion Pharmaceuticals, Inc. CVR * (a)     36,350  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $33,442)
    36,350  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.4%      
          Money Market Funds — 0.4%      
    408,552     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (b)     408,552  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $408,552)
    408,552  
     

 

 

 
    TOTAL INVESTMENTS — 99.7%
(Cost $92,964,972)
    98,971,119  
    Other Assets and Liabilities (net) — 0.3%     344,800  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $99,315,919  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
33   E-mini Russell 2000 Index     December 2022     $ 3,114,375     $ 43,892  
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

As of November 30, 2022, 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, 2022.

Portfolio Abbreviations:

CVR - Contingent Value Right

REIT - Real Estate Investment Trust

 


Organization

Each of Climate Change Fund, Emerging Markets ex-China Fund, Emerging Markets Fund, Emerging Markets Select Equity Fund (formerly Emerging Domestic Opportunities Fund), International Equity Fund, Japan Value Creation Fund, Quality Cyclicals Fund, Quality Fund, Resources Fund, Small Cap Quality Fund (commenced operations on September 20, 2022), 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, 2022, 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, 2022:

 

         
Description   Level 1     Level 2     Level 3     Total  
Climate Change Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Argentina

  $ 8,193,218     $     $     $ 8,193,218  

Australia

          4,809,475             4,809,475  

Belgium

          1,687,934             1,687,934  

Brazil

          24,421,654             24,421,654  

Canada

    97,464,945                   97,464,945  

China

    3,861,043       18,766,027             22,627,070  

Denmark

          31,610,086             31,610,086  

Finland

          9,328,608             9,328,608  

France

          62,535,009             62,535,009  

Germany

          17,227,807             17,227,807  

Italy

          2,392,039             2,392,039  

Japan

          40,015,374             40,015,374  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Climate Change Fund (continued)                        
Asset Valuation Inputs (continued)                        

Common Stocks (continued)

         

Mexico

  $ 20,870,397     $     $     $ 20,870,397  

Netherlands

          4,890,970             4,890,970  

Norway

          6,365,082             6,365,082  

Pakistan

          167,235             167,235  

Russia

                2,233,646       2,233,646  

South Korea

          59,720,452             59,720,452  

Spain

          2,562,045             2,562,045  

Switzerland

          1,797,989             1,797,989  

Thailand

          995,432             995,432  

Ukraine

          909,810             909,810  

United Kingdom

          9,736,718             9,736,718  

United States

    464,211,371                   464,211,371  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    594,600,974       299,939,746       2,233,646       896,774,366  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Chile

    13,055,207                   13,055,207  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    13,055,207                   13,055,207  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Australia

                0 §      0 § 
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                0 §      0 § 
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    24,945,517                   24,945,517  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    24,945,517                   24,945,517  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    465,014                   465,014  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    633,066,712       299,939,746       2,233,646       935,240,104  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 633,066,712     $ 299,939,746     $ 2,233,646     $ 935,240,104  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Emerging Markets ex-China Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Brazil

  $ 3,791,684     $ 2,749,537     $ 2,305     $ 6,543,526  

Chile

    407,015       1,302,472             1,709,487  

Colombia

    437,045                   437,045  

Czech Republic

          511,282             511,282  

Egypt

          1,352,956             1,352,956  

Greece

          129,765             129,765  

Hungary

          4,410,043             4,410,043  

India

    6,253,333       17,973,610             24,226,943  

Indonesia

          17,130,572             17,130,572  

Malaysia

          533,526             533,526  

Mexico

    27,091,416             0 §      27,091,416  

Philippines

          691,375             691,375  

Poland

          5,132,139             5,132,139  

Qatar

          2,288,834             2,288,834  

Russia

          802,683       3,121,148       3,923,831  

South Africa

    1,790,521       17,168,910             18,959,431  

South Korea

    827,370       72,532,278             73,359,648  

Taiwan

    14,297,454       71,704,976             86,002,430  

Thailand

          5,599,490             5,599,490  

Turkey

          1,675,989             1,675,989  

United Kingdom

          1,794,140             1,794,140  

Vietnam

          10,275,731             10,275,731  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    54,895,838       235,760,308       3,123,453       293,779,599  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Emerging Markets ex-China Fund (continued)                        
Asset Valuation Inputs (continued)                        

Preferred Stocks

         

Brazil

  $ 5,353,287     $ 13,646,989     $     $ 19,000,276  

Chile

          47,186             47,186  

Russia

                144,398       144,398  

South Korea

          15,895             15,895  

Taiwan

          55,038             55,038  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    5,353,287       13,765,108       144,398       19,262,793  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    12,521,838                   12,521,838  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    12,521,838                   12,521,838  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    1,718,438                   1,718,438  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    74,489,401       249,525,416       3,267,851       327,282,668  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 74,489,401     $ 249,525,416     $ 3,267,851     $ 327,282,668  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Emerging Markets Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Brazil

  $ 15,168,450     $ 12,285,260     $ 32,092     $ 27,485,802  

Chile

          1,047,959             1,047,959  

China

    32,668,899       234,865,056       873,086       268,407,041  

Colombia

    222,826                   222,826  

Czech Republic

          1,778,713             1,778,713  

Egypt

          729,309             729,309  

Greece

          384,340             384,340  

Hungary

          18,814,687             18,814,687  

India

    12,380,940       66,170,843       8,586,516       87,138,299  

Indonesia

          46,985,246             46,985,246  

Kuwait

          615,911             615,911  

Malaysia

          1,371,350             1,371,350  

Mexico

    74,930,436             0 §      74,930,436  

Panama

    90,960                   90,960  

Philippines

          3,422,331             3,422,331  

Poland

          12,047,281             12,047,281  

Qatar

          8,576,714             8,576,714  

Russia

          2,656,774       14,550,663       17,207,437  

South Africa

    2,872,002       45,134,851             48,006,853  

South Korea

          165,532,220             165,532,220  

Sri Lanka

                253,961       253,961  

Taiwan

    19,137,843       215,210,325             234,348,168  

Thailand

          8,053,900             8,053,900  

Turkey

          6,238,920             6,238,920  

United Kingdom

          11,313,404             11,313,404  

Vietnam

          39,250,552             39,250,552  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    157,472,356       902,485,946       24,296,318       1,084,254,620  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    5,379,295       35,230,590             40,609,885  

Russia

                2,372,331       2,372,331  

South Korea

          22,925,257             22,925,257  

Taiwan

          803,183             803,183  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    5,379,295       58,959,030       2,372,331       66,710,656  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    4,804,121                   4,804,121  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    4,804,121                   4,804,121  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


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

Mutual Funds

         

United States

  $ 4,555,303     $     $     $ 4,555,303  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    4,555,303                   4,555,303  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    7,331,552                   7,331,552  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    179,542,627       961,444,976       26,668,649       1,167,656,252  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    336,880                   336,880  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 179,879,507     $ 961,444,976     $ 26,668,649     $ 1,167,993,132  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Emerging Markets Select Equity Fund
(formerly Emerging Domestic Opportunities Fund)
                       
Asset Valuation Inputs                        

Common Stocks

         

Brazil

  $ 624,691     $ 2,231,613     $ 1,297     $ 2,857,601  

China

    1,254,140       42,837,460             44,091,600  

France

          1,182,250             1,182,250  

Hong Kong

          1,807,520             1,807,520  

India

          20,987,670             20,987,670  

Indonesia

          8,185,705             8,185,705  

Japan

          923,557             923,557  

Mexico

    7,945,497                   7,945,497  

Peru

    509,786                   509,786  

Philippines

          340,195             340,195  

Qatar

          1,604,239             1,604,239  

Russia

                595,027       595,027  

Saudi Arabia

          1,253,936             1,253,936  

South Africa

          1,431,826             1,431,826  

South Korea

          10,927,001             10,927,001  

Switzerland

          1,655,617             1,655,617  

Taiwan

          20,819,961             20,819,961  

Thailand

          3,190,219             3,190,219  

United Arab Emirates

          935,470             935,470  

United Kingdom

          2,478,362             2,478,362  

United States

    1,889,337       403,339             2,292,676  

Vietnam

          2,554,509             2,554,509  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    12,223,451       125,750,449       596,324       138,570,224  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          652,837             652,837  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          652,837             652,837  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

Russia

                9,610       9,610  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

                9,610       9,610  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    5,608,296                   5,608,296  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    5,608,296                   5,608,296  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    708,282                   708,282  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    18,540,029       126,403,286       605,934       145,549,249  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 18,540,029     $ 126,403,286     $ 605,934     $ 145,549,249  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  

International Equity Fund

         

Asset Valuation Inputs

         

Common Stocks

         

Australia

  $     $ 66,896,209     $     $ 66,896,209  

Belgium

          3,219,406             3,219,406  

Denmark

          789,114             789,114  

Finland

          21,597,008             21,597,008  

France

    37,072,080       181,411,027             218,483,107  

Germany

          60,231,173             60,231,173  

Hong Kong

          26,119,209             26,119,209  

Ireland

          9,739,634             9,739,634  

Italy

          12,915,595             12,915,595  

Japan

    731,168       399,416,267             400,147,435  

Netherlands

          118,169,690             118,169,690  

Norway

          43,276,552             43,276,552  

Portugal

          23,492,955             23,492,955  

Singapore

          77,528,534             77,528,534  

Spain

          99,961,686             99,961,686  

Sweden

          8,826,802             8,826,802  

Switzerland

          97,572,275             97,572,275  

United Kingdom

    24,781,101       221,997,655             246,778,756  

United States

    1,612,093                   1,612,093  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    64,196,442       1,473,160,791             1,537,357,233  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          12,573,627             12,573,627  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          12,573,627             12,573,627  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

France

    58,238                   58,238  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    58,238                   58,238  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    34,955,383                   34,955,383  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    34,955,383                   34,955,383  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    23,500,000                   23,500,000  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    23,500,000                   23,500,000  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    291,071                   291,071  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    123,001,134       1,485,734,418             1,608,735,552  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    193,473                   193,473  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 123,194,607     $ 1,485,734,418     $     $ 1,608,929,025  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Japan Value Creation Fund                        
Asset Valuation Inputs                        

Common Stocks

  $     $ 124,188,119     $     $ 124,188,119  

Short-Term Investments

    2,252,906                   2,252,906  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    2,252,906       124,188,119             126,441,025  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 2,252,906     $ 124,188,119     $     $ 126,441,025  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Quality Cyclicals Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Brazil

  $     $ 247,781     $     $ 247,781  

Canada

    6,103,662                   6,103,662  

China

          3,682,935             3,682,935  

Finland

          2,479,556             2,479,556  

France

          10,095,213             10,095,213  

Germany

          2,374,628             2,374,628  

Hong Kong

          1,707,312             1,707,312  

Ireland

    414,932       2,296,762             2,711,694  

Mexico

    6,588,148                   6,588,148  

Russia

                263,174       263,174  

Spain

          4,931,343             4,931,343  

United Kingdom

          11,561,070             11,561,070  

United States

    54,685,148                   54,685,148  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    67,791,890       39,376,600       263,174       107,431,664  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          2,380,852             2,380,852  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          2,380,852             2,380,852  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    300,000                   300,000  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    300,000                   300,000  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    159,428                   159,428  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    68,251,318       41,757,452       263,174       110,271,944  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 68,251,318     $ 41,757,452     $ 263,174     $ 110,271,944  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Quality Fund                        
Asset Valuation Inputs                        

Common Stocks

         

China

  $     $ 82,152,191     $     $ 82,152,191  

France

          300,291,769             300,291,769  

Germany

          242,160,326             242,160,326  

Spain

          43,426,804             43,426,804  

Switzerland

          224,683,945             224,683,945  

Taiwan

          211,761,795             211,761,795  

United Kingdom

          332,912,349             332,912,349  

United States

    5,593,475,455                   5,593,475,455  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    5,593,475,455       1,437,389,179             7,030,864,634  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    103,252,888                   103,252,888  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    103,252,888                   103,252,888  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    3,875,510                   3,875,510  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    5,700,603,853       1,437,389,179             7,137,993,032  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 5,700,603,853     $ 1,437,389,179     $     $ 7,137,993,032  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Resources Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Argentina

  $ 22,083,729     $     $     $ 22,083,729  

Australia

          75,151,934             75,151,934  

Austria

          34,784,822             34,784,822  

Brazil

          73,454,321             73,454,321  

Canada

    228,055,023                   228,055,023  

China

          36,937,639             36,937,639  
                                 


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

Common Stocks (continued)

         

Denmark

  $     $ 45,193,611     $     $ 45,193,611  

Finland

          12,135,032             12,135,032  

France

          49,984,404             49,984,404  

Hungary

          19,622,691             19,622,691  

India

          29,460,927             29,460,927  

Israel

          13,473,219             13,473,219  

Italy

          23,821,015             23,821,015  

Japan

          55,308,703             55,308,703  

Mexico

    53,229,949                   53,229,949  

Netherlands

          3,894,231             3,894,231  

Norway

          62,310,762             62,310,762  

Pakistan

          1,655,872             1,655,872  

Poland

          16,234,110             16,234,110  

Portugal

          88,090,884             88,090,884  

Russia

                14,270,666       14,270,666  

Singapore

                0 §      0 § 

South Africa

          89,728,367             89,728,367  

South Korea

          2,759,597             2,759,597  

Spain

          45,739,528             45,739,528  

Switzerland

          1,799,634             1,799,634  

Turkey

          10,662,624             10,662,624  

Ukraine

          2,073,351             2,073,351  

United Kingdom

          310,073,064             310,073,064  

United States

    779,518,287                   779,518,287  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    1,082,886,988       1,104,350,342       14,270,666       2,201,507,996  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

          185,920,234             185,920,234  

Chile

    39,445,352                   39,445,352  

Russia

                3,604,056       3,604,056  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    39,445,352       185,920,234       3,604,056       228,969,642  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Australia

                0 §      0 § 

Singapore

                2       2  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                2       2  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    15,066,200                   15,066,200  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    15,066,200                   15,066,200  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    5,563,233                   5,563,233  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,142,961,773       1,290,270,576       17,874,724       2,451,107,073  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,142,961,773     $ 1,290,270,576     $ 17,874,724     $ 2,451,107,073  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Small Cap Quality Fund                        
Asset Valuation Inputs                        

Common Stocks

  $ 106,671,208     $     $     $ 106,671,208  

Mutual Funds

    704,241                   704,241  

Short-Term Investments

    720,737                   720,737  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    108,096,186                   108,096,186  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 108,096,186     $     $     $ 108,096,186  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Tax-Managed International Equities Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Australia

  $     $ 1,614,013     $     $ 1,614,013  

Belgium

          40,387             40,387  

Brazil

    87,675       268,002             355,677  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Tax-Managed International Equities Fund (continued)                        
Asset Valuation Inputs (continued)                        

Common Stocks (continued)

         

Denmark

  $     $ 21,813     $     $ 21,813  

Finland

          344,758             344,758  

France

    890,352       4,120,122             5,010,474  

Germany

          1,449,107             1,449,107  

Hong Kong

          382,236             382,236  

India

          387,032             387,032  

Ireland

          138,975             138,975  

Italy

          185,464             185,464  

Japan

          9,004,197             9,004,197  

Malaysia

          1,944             1,944  

Netherlands

          2,671,018             2,671,018  

Norway

          983,683             983,683  

Poland

          73,621             73,621  

Portugal

          463,872             463,872  

Russia

                243       243  

Singapore

          1,521,112             1,521,112  

South Africa

          41,326             41,326  

South Korea

          737,824             737,824  

Spain

          2,199,847             2,199,847  

Sweden

          186,718             186,718  

Switzerland

    71,388       2,322,788             2,394,176  

Thailand

          625,208             625,208  

Turkey

          974,811             974,811  

United Kingdom

    1,686,991       3,372,879             5,059,870  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    2,736,406       34,132,757       243       36,869,406  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    153,152       150,673             303,825  

Germany

          259,429             259,429  

South Korea

          10,642             10,642  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    153,152       420,744             573,896  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    811,918                   811,918  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    811,918                   811,918  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    79,575                   79,575  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    3,781,051       34,553,501       243       38,334,795  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    4,800                   4,800  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 3,785,851     $ 34,553,501     $ 243     $ 38,339,595  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
U.S. Equity Fund                        
Asset Valuation Inputs                        

Common Stocks

  $ 416,061,579     $     $     $ 416,061,579  

Mutual Funds

    5,500,000                   5,500,000  

Short-Term Investments

    555,139                   555,139  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    422,116,718                   422,116,718  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

  $ 238,996     $     $     $ 238,996  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 422,355,714     $     $     $ 422,355,714  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
U.S. Small Cap Value Fund                        
Asset Valuation Inputs                        

Common Stocks

         

United States

  $ 95,783,395     $     $     $ 95,783,395  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    95,783,395                   95,783,395  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

United States

                36,350       36,350  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                36,350       36,350  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    2,742,822                   2,742,822  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    2,742,822                   2,742,822  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    408,552                   408,552  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    98,934,769             36,350       98,971,119  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Equity Risk

    43,892                   43,892  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 98,978,661     $     $ 36,350     $ 99,015,011  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

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

 

  §

Represents the interest in securities that were determined to have a value of zero at November 30, 2022.

  ^

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). 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). The below Funds held classes of investments or derivatives with direct material Level 3 holdings at November 30, 2022:

 

     
Investment Type   Number of
Investments
 

Valuation

Methodology

Climate Change Fund        

Common and/or Preferred Stock

  2   Valued off the last traded price with a 93% discount
Emerging Markets ex-China Fund        

Common and/or Preferred Stock

  20   Valued off the last traded price with a 93% discount

Common and/or Preferred Stock

  1   Depositary receipts valued off the corresponding local securities with a 93% discount and adjusted for the depositary receipt conversion ratio and currency impact
Emerging Markets Fund        

Common and/or Preferred Stock

  20   Valued off the last traded price with a 93% discount

Common and/or Preferred Stock

  2   Valued at the last price prior to trading being suspended


     
Investment Type   Number of
Investments
 

Valuation

Methodology

Common and/or Preferred Stock

  1   Depositary receipts valued off the corresponding local securities with a 93% discount and adjusted for the depositary receipt conversion ratio and currency impact

Common and/or Preferred Stock

  1   Valued off the February 25, 2022 last traded price with a 93% discount and currency impact

Common and/or Preferred Stock

  1   Valued off the parent security until a merger is finalized
Emerging Markets Select Equity Fund (formerly Emerging Domestic  Opportunities Fund)         

Common and/or Preferred Stock

  3   Valued off the last traded price with a 93% discount

Common and/or Preferred Stock

  1   Valued off the February 25, 2022 last traded price with a 93% discount and currency impact
Quality Cyclicals Fund        

Common and/or Preferred Stock

  2   Valued off the last traded price with a 93% discount
Resources Fund        

Common and/or Preferred Stock

  8   Valued off the last traded price with a 93% discount

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 28,
2022
    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,
2022
    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as of
November 30,
2022
 
Climate Change Fund                                                  
Common Stocks                      

Mexico

  $     $ 27,322,941     $ (36,128   $         —     $ (306   $ (25,206,136   $ 153,275 ‡    $         —     $ 2,233,646     $ (25,206,136
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $     $ 27,322,941     $ (36,128   $     $ (306   $ (25,206,136   $ 153,275     $     $ 2,233,646     $ (25,206,136
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 
Emerging Markets ex-China Fund                                      
Common Stocks                      

Brazil

  $     $ 4,168     $ (2,249   $     $ 373     $ 13     $     $     $ 2,305     $ 13  

Russia

    949,755             (184,500           (445,566     (236,019     3,037,478 ‡            3,121,148       (575,050
Preferred Stocks                      

Russia

                                        144,398 ‡            144,398        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 949,755     $ 4,168     $ (186,749   $     $ (445,193   $ (236,006   $ 3,181,876     $     $ 3,267,851     $ (575,037
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 
Emerging Markets Fund        
Common Stocks                      

Brazil

  $     $ 58,041     $ (31,326   $     $ 5,190     $ 187     $     $     $ 32,092     $ 187  

China

    358,312             (124,467           (219,172     (14,672     873,085 ‡            873,086        

India

          7,847,287                         739,229                   8,586,516       739,229  

Russia

    2,870,861             (1,248,787           (5,573,984     4,058,807       14,443,766 ‡            14,550,663       (422,590

Sri Lanka

                                        253,961 ‡            253,961        
Preferred Stocks                      

Russia

                                        2,372,331 ‡            2,372,331        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 3,229,173     $ 7,905,328     $ (1,404,580   $     $ (5,787,966   $ 4,783,551     $ 17,943,143     $     $ 26,668,649     $ 316,826  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 


                     
     Balances
as of
February 28,
2022
    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,
2022
    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as of
November 30,
2022
 
Emerging Markets Select Equity Fund (formerly Emerging Domestic Opportunities Fund)        
Common Stocks                      

Brazil

  $     $ 1,055     $     $     $     $ 242     $     $     $ 1,297     $ 242  

India

    5,986,759             (3,834,875           2,046,996       (3,911,812           (287,068 )‡             

Russia

    911,572                               (898,466     581,921 ‡            595,027       (898,466
Investment Funds                      

Russia

                                        9,610 ‡            9,610        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 6,898,331     $ 1,055     $ (3,834,875   $     $ 2,046,996     $ (4,810,036   $ 591,531     $ (287,068   $ 605,934     $ (898,224
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 
Quality Cyclicals Fund        
Common Stocks                      

Russia

  $     $     $     $     $     $     $ 263,174 ‡    $     $ 263,174     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $     $     $     $     $     $     $ 263,174     $     $ 263,174     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 
Resources Fund        
Common Stocks                      

Russia

  $     $     $     $     $     $     $ 14,270,666 ‡    $     $ 14,270,666     $  

United States

    4,539,029             (4,410,991                 (128,038                        
Preferred Stocks                      

Russia

                                        3,604,056 ‡            3,604,056        
Rights/Warrants                      

Singapore

    2                                                 2        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 4,539,031     $     $ (4,410,991   $     $     $ (128,038   $ 17,874,722     $     $ 17,874,724     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 

 

 

Financial assets transferred between levels were due to a change in observable and/or unobservable inputs as well as the impact of the Russian invasion of Ukraine on local and global markets, as applicable.

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, 2022 for Funds with material Level 3 investments.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type   Total
Fair
Value ($)
   

Valuation

Methodology

    Unobservable Inputs   Range (Weighted
Average)
 

Climate Change Fund

                           

Common Stock

    2,074,618       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Common Stock (American Depositary Receipt)

    5       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Common Stock (Global Depositary Receipt)

    159,023       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Emerging Markets ex-China Fund

                           

Common Stock

    3,239       Fair Value     Price of comparable equity/Discount for liquidity     99%/(N/A)  

Common Stock

    2,839,051       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Common Stock

          Fair Value     Discount for lack of liquidity/marketability     $0 (N/A)  

Common Stock (American Depositary Receipt)

    93,214       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  


         
Investment Type   Total Fair
Value ($)
   

Valuation

Methodology

    Unobservable Inputs   Range (Weighted
Average)
 

Common Stock (Global Depositary Receipt)

    185,644       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Preferred Stock

    144,398       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Emerging Markets Fund

                           

Common Stock

    986       Fair Value     Price of comparable equity/Discount for liquidity     99%/(N/A)  

Common Stock

    13,461,234       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Common Stock

    1       Fair Value     Discount for lack of liquidity/marketability     $0 (N/A)  

Common Stock (American Depositary Receipt)

    19,227       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Common Stock (Global Depositary Receipt)

    1,069,216       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Preferred Stock

    2,372,331       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Emerging Markets Select Equity Fund (formerly Emerging Domestic Opportunities Fund)

                           

Common Stock

    13,107       Fair Value     Price of comparable equity/Discount for liquidity     99%/(N/A)  

Common Stock

    422,548       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Common Stock (Global Depositary Receipt)

    159,372       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Investment Fund

    9,610       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Quality Cyclicals Fund

                           

Common Stock

    263,174       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Resources Fund

                           

Common Stock

          Fair Value     Discount for lack of liquidity/marketability     $0 (N/A)

Common Stock

    13,710,854       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Common Stock (Global Depositary Receipt)

    559,812       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Preferred Stock

    3,604,056       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Warrant

    2       Fair Value     Discount for lack of liquidity/marketability     $0 (N/A)  

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of November 30, 2022, the value of these securities and/or derivatives for Emerging Markets ex-China Fund, Emerging Markets Fund and Emerging Markets Select Equity Fund (formerly Emerging Domestic Opportunities Fund) was $2,305, $9,745,654 and $1,297, 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, 2022 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
 
Climate Change Fund        

GMO U.S. Treasury Fund

  $ 58,977,551     $ 502,345,886     $ 535,897,518     $ 204,286 **    $         —     $ (525,611   $ 45,209     $ 24,945,517  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Emerging Markets ex-China Fund        

GMO U.S. Treasury Fund

  $ 4,374     $ 18,121,847     $ 5,604,374     $ 20,567     $     $ (26   $ 17     $ 12,521,838  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Emerging Markets Fund                                      

Anilana Hotels & Properties Ltd

  $ 712,685     $     $     $     $     $     $ (458,724   $ 253,961  

Gayatri Projects Ltd

    3,763,980             39,084                   (181,526     (2,264,680     1,278,690  

GMO U.S. Treasury Fund

          27,535,303       22,980,000       33,900                         4,555,303  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 4,476,665     $ 27,535,303     $ 23,019,084     $ 33,900     $     $ (181,526   $ (2,723,404   $ 6,087,954  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Emerging Markets Select Equity Fund (formerly Emerging Domestic Opportunities Fund)        

GMO U.S. Treasury Fund

  $ 2,331,522     $ 30,605,524     $ 27,317,396     $ 34,493     $     $ (20,658   $ 9,304     $ 5,608,296  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
International Equity Fund        

GMO U.S. Treasury Fund

  $     $ 23,500,000     $     $ 49,907     $     $     $     $ 23,500,000  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Quality Cyclicals Fund        

GMO U.S. Treasury Fund

  $ 434,957     $ 3,257,078     $ 3,385,000     $ 13,100     $     $ (8,772   $ 1,737     $ 300,000  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Quality Fund        

GMO U.S. Treasury Fund

  $ 5,788,348     $ 264,999,201     $ 167,500,000     $ 571,798     $     $ (23,071   $ (11,590   $ 103,252,888  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Resources Fund        

GMO U.S. Treasury Fund

  $     $ 38,450,000     $ 23,383,800     $ 47,645     $     $     $     $ 15,066,200  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Small Cap Quality Fund        

GMO U.S. Treasury Fund

  $     $ 2,004,241     $ 1,300,000     $ 4,241     $     $     $     $ 704,241  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Tax-Managed International Equities Fund        

GMO U.S. Treasury Fund

  $ 999,833     $ 14,270,000     $ 14,453,200     $ 12,749     $     $ (7,679   $ 2,964     $ 811,918  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
U.S. Equity Fund        

GMO U.S. Treasury Fund

  $ 10,402,263     $ 37,060,000     $ 41,922,126     $ 67,992     $     $ (66,313   $ 26,176     $ 5,500,000  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
U.S. Small Cap Value Fund        

GMO U.S. Treasury Fund

  $ 1,158,524     $ 13,400,000     $ 11,800,000     $ 35,182     $     $ (19,331   $ 3,629     $ 2,742,822  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2022 through November 30, 2022. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2023.

 

  **

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 $779,250 in Climate Change Fund during the period.


Subsequent events

Subsequent to November 30, 2022, GMO U.S. Small Cap Value Fund and GMO U.S. Equity Fund received redemption requests in the amounts of $51,624,640 and $134,263,595, 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 Asset Allocation Bond Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
    DEBT OBLIGATIONS — 99.5%

 

          U.S. Government — 99.5%  
    3,539,000     U.S. Treasury Note, 2.38%, due 03/31/29     3,256,848  
    20,037,000     U.S. Treasury Note, 1.25%, due 08/15/31     16,494,521  
     

 

 

 
    Total U.S. Government     19,751,369  
     

 

 

 
    TOTAL DEBT OBLIGATIONS (COST $22,456,605)     19,751,369  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.4%  
          Money Market Funds — 0.4%  
    80,097     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     80,097  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $80,097)
    80,097  
     

 

 

 
    TOTAL INVESTMENTS — 99.9%
(Cost $22,536,702)
    19,831,466  
    Other Assets and Liabilities (net) — 0.1%     10,611  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $19,842,077  
     

 

 

 
 

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, 2022.


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
    DEBT OBLIGATIONS — 91.0%

 

          Albania — 1.5%  
          Sovereign and Sovereign Agency Issuers — 1.5%  
    40,349,849     Republic of Albania Par Bond, Zero Coupon, due 08/31/25 (a) (b)          34,698,826  

EUR

    7,400,000     Republic of Albania Par Bond, Reg S, 3.50%, due 11/23/31     6,106,449  
     

 

 

 
    Total Albania     40,805,275  
     

 

 

 
          Angola — 0.6%      
          Sovereign and Sovereign Agency Issuers — 0.6%  
    18,800,000     Angolan Government International Bond, Reg S, 9.38%, due 05/08/48     15,580,500  
     

 

 

 
          Argentina — 2.9%      
          Sovereign and Sovereign Agency Issuers — 2.9%  
    23,590,713     Republic of Argentina, 1.00%, due 07/09/29     6,110,354  
    28,633,493     Republic of Argentina, Step Up, 0.50%, due 07/09/30     7,573,559  

JPY

    330,767,206     Republic of Argentina, Variable Rate, 4.33%, due 12/31/33 (c)     598,825  
    45,947,942     Republic of Argentina, Step Up, 1.50%, due 07/09/35     11,188,324  

EUR

    23,100,000     Republic of Argentina, Step Up, 3.00%, due 01/09/38     5,853,219  
    58,508,994     Republic of Argentina, Step Up, 3.88%, due 01/09/38     17,302,861  

JPY

    271,173,000     Republic of Argentina, 0.67%, due 12/31/38 (c)     339,727  

EUR

    6,660,000     Republic of Argentina, Step Up, 2.75%, due 07/09/41     1,555,874  
    56,601,240     Republic of Argentina, Step Up, 3.50%, due 07/09/41     15,706,844  
    46,247,000     Republic of Argentina, Step Up, 1.50%, due 07/09/46     11,209,117  
     

 

 

 
    Total Argentina     77,438,704  
     

 

 

 
          Armenia — 0.0%      
          Corporate Debt  
    1,150,000     Ardshinbank CJSC Via Dilijan Finance BV, Reg S, 6.50%, due 01/28/25     1,087,325  
     

 

 

 
          Azerbaijan — 1.0%      
          Sovereign and Sovereign Agency Issuers — 1.0%  
    9,288,000     International Bank of Azerbaijan OJSC, Reg S, 3.50%, due 09/01/24     8,846,820  
    4,250,000     Petkim Petrokimya Holding AS, Reg S, 5.88%, due 01/26/23     4,239,375  
    14,400,000     Republic of Azerbaijan International Bond, Reg S, 5.13%, due 09/01/29     13,520,700  
     

 

 

 
    Total Azerbaijan     26,606,895  
     

 

 

 
    
Par Value†
    Description   Value ($)  
          Bahamas — 0.9%      
          Sovereign and Sovereign Agency Issuers — 0.9%  
    8,840,000     Bahamas Government International Bond, Reg S, 6.00%, due 11/21/28     6,557,070  
    4,400,000     Bahamas Government International Bond, 144A, 9.00%, due 06/16/29     3,636,325  
    12,700,000     Bahamas Government International Bond, Reg S, 8.95%, due 10/15/32     9,662,317  
    6,400,000     Bahamas Government International Bond, Reg S, 7.13%, due 04/02/38     4,877,200  
     

 

 

 
    Total Bahamas          24,732,912  
     

 

 

 
          Bahrain — 2.3%      
          Sovereign and Sovereign Agency Issuers — 2.3%  
    68,390,000     Bahrain Government International Bond, Reg S, 7.50%, due 09/20/47     60,110,536  
     

 

 

 
          Barbados — 0.6%      
          Sovereign and Sovereign Agency Issuers — 0.6%  
    15,900,000     Barbados Government International Bond, Reg S, 6.50%, due 10/01/29     14,750,231  
     

 

 

 
          Belarus — 0.3%      
          Sovereign and Sovereign Agency Issuers — 0.3%  
    8,304,000     Development Bank of the Republic of Belarus JSC, Reg S, 6.75%, due 05/02/24 (c) (d)     1,882,932  
    20,300,000     Republic of Belarus International Bond, Reg S, 6.20%, due 02/28/30 (c) (d)     6,699,000  
     

 

 

 
    Total Belarus     8,581,932  
     

 

 

 
          Bermuda — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    5,690,000     Bermuda Government International Bond, Reg S, 4.75%, due 02/15/29     5,529,258  
     

 

 

 
          Bolivia — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    7,500,000     Bolivia Government International Bond, Reg S, 4.50%, due 03/20/28     5,842,031  
     

 

 

 
          Brazil — 1.6%      
          Corporate Debt — 0.8%  
    24,213,636     MV24 Capital BV, Reg S, 6.75%, due 06/01/34     21,365,507  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.8%  
    14,400,000     Republic of Brazil, 4.75%, due 01/14/50     10,514,700  

BRL

    61,000,000     Rio Smart Lighting Sarl, Reg S, 12.25%, due 09/20/32 (e)     11,196,489  
     

 

 

 
        21,711,189  
     

 

 

 
    Total Brazil     43,076,696  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          Bulgaria — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  

EUR

    1,200,000     Bulgarian Energy Holding EAD, Reg S, 2.45%, due 07/22/28              960,578  
     

 

 

 
          Cameroon — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  

EUR

    6,100,000     Republic of Cameroon International Bond, Reg S, 5.95%, due 07/07/32     4,631,015  
     

 

 

 
          Chile — 2.3%      
          Corporate Debt — 1.0%  
    16,611,000     Enel Generacion Chile SA, 8.13%, due 02/01/97 (a)     16,013,004  
    22,934,810     Inversiones Latin America Power Ltda, Reg S, 5.13%, due 06/15/33     10,955,672  
     

 

 

 
        26,968,676  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 1.3%  
    6,100,000     Chile Government International Bond, 3.10%, due 05/07/41     4,480,450  
    3,000,000     Chile Government International Bond, 4.00%, due 01/31/52     2,367,000  
    6,600,000     Empresa Nacional del Petroleo, Reg S, 5.25%, due 11/06/29     6,352,500  
    4,300,000     Empresa Nacional del Petroleo, Reg S, 3.45%, due 09/16/31     3,596,681  
    24,950,000     Empresa Nacional del Petroleo, Reg S, 4.50%, due 09/14/47     17,383,913  
     

 

 

 
        34,180,544  
     

 

 

 
    Total Chile     61,149,220  
     

 

 

 
          China — 0.3%      
          Corporate Debt — 0.1%  
    11,200,000     China Evergrande Group, Reg S, 11.50%, due 01/22/23 (d)     625,100  
    14,300,000     China Evergrande Group, Reg S, 12.00%, due 01/22/24 (d)     786,500  
    7,500,000     China Evergrande Group, Reg S, 10.50%, due 04/11/24 (d)     418,594  
    6,100,000     Scenery Journey Ltd, Reg S, 11.50%, due 10/24/22 (d)     335,500  
    2,100,000     Scenery Journey Ltd, Reg S, 13.00%, due 11/06/22 (d)     115,500  
    3,600,000     Scenery Journey Ltd, Reg S, 12.00%, due 10/24/23 (d)     198,000  
    4,100,000     Scenery Journey Ltd, Reg S, 13.75%, due 11/06/23 (d)     225,500  
     

 

 

 
        2,704,694  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.2%  
    7,500,000     CNAC HK Finbridge Co., Ltd., Reg S, 3.00%, due 09/22/30     6,012,300  
     

 

 

 
    Total China     8,716,994  
     

 

 

 
    
Par Value†
    Description   Value ($)  
          Colombia — 3.8%      
          Corporate Debt — 0.1%  

COP

    21,060,796,766     PA Autopista Rio Magdalena, Reg S, 6.05%, due 06/15/36            3,315,287  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 3.7%  
    1,092,000     Colombia Government International Bond, 8.38%, due 02/15/27 (a)     1,081,481  
    3,100,000     Colombia Government International Bond, 11.85%, due 03/09/28 (a)     3,498,316  
    10,300,000     Colombia Government International Bond, 8.00%, due 04/20/33     10,233,050  
    68,300,000     Colombia Government International Bond, 5.63%, due 02/26/44     48,356,400  
    14,000,000     Colombia Government International Bond, 5.20%, due 05/15/49     9,338,875  
    8,011,000     Ecopetrol SA, 7.38%, due 09/18/43     6,636,513  
    17,300,000     Ecopetrol SA, 5.88%, due 11/02/51     11,435,300  

COP

    41,560,000,000     Empresas Publicas de Medellin ESP, Reg S, 8.38%, due 11/08/27     6,332,348  
     

 

 

 
        96,912,283  
     

 

 

 
    Total Colombia     100,227,570  
     

 

 

 
          Congo Republic (Brazzaville) — 1.4%  
          Sovereign and Sovereign Agency Issuers — 1.4%  
    43,368,925     Republic of Congo, Reg S, Step Up, 6.00%, due 06/30/29 (c)     36,248,290  
     

 

 

 
          Costa Rica — 1.0%  
          Sovereign and Sovereign Agency Issuers — 1.0%  
    3,000,000     Costa Rica Government International Bond, Reg S, 7.00%, due 04/04/44     2,788,687  
    18,731,000     Costa Rica Government International Bond, Reg S, 7.16%, due 03/12/45     17,604,799  
    7,498,000     Instituto Costarricense de Electricidad, Reg S, 6.38%, due 05/15/43     5,677,392  
     

 

 

 
    Total Costa Rica     26,070,878  
     

 

 

 
          Czech Republic — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    4,458,000     CEZ AS, Reg S, 5.63%, due 04/03/42     4,101,263  
     

 

 

 
          Dominican Republic — 2.8%      
          Sovereign and Sovereign Agency Issuers — 2.8%  
    6,000,000     Dominican Republic International Bond, 144A, 6.00%, due 02/22/33     5,386,125  
    4,500,000     Dominican Republic International Bond, Reg S, 6.50%, due 02/15/48     3,686,625  
    90,329,000     Dominican Republic International Bond, Reg S, 5.88%, due 01/30/60     66,436,979  
     

 

 

 
    Total Dominican Republic     75,509,729  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          Ecuador — 2.7%      
          Sovereign and Sovereign Agency Issuers — 2.7%  
    800,000     Ecuador Government International Bond, 5.00%, due 02/28/25 (c)     736,000  
    6,646,892     Ecuador Government International Bond, Reg S, Zero Coupon, due 07/31/30     2,433,593  
    15,076,250     Ecuador Government International Bond, Reg S, Step Up, 5.50%, due 07/31/30     9,138,092  
    91,687,125     Ecuador Government International Bond, Reg S, Step Up, 2.50%, due 07/31/35     39,958,395  
    29,703,750     Ecuador Government International Bond, Reg S, Step Up, 1.50%, due 07/31/40     11,784,963  
    9,865,290     Ecuador Social Bond Sarl, Reg S, Zero Coupon, due 01/30/35     7,924,911  
     

 

 

 
    Total Ecuador          71,975,954  
     

 

 

 
          Egypt — 2.1%      
          Sovereign and Sovereign Agency Issuers — 2.1%  
    22,200,000     Egypt Government International Bond, Reg S, 8.70%, due 03/01/49     14,818,500  
    28,200,000     Egypt Government International Bond, Reg S, 8.88%, due 05/29/50     19,105,500  
    9,100,000     Egypt Government International Bond, Reg S, 8.75%, due 09/30/51     6,198,237  
    22,764,000     Egypt Government International Bond, Reg S, 8.15%, due 11/20/59     15,081,150  
     

 

 

 
    Total Egypt     55,203,387  
     

 

 

 
          El Salvador — 0.5%  
          Sovereign and Sovereign Agency Issuers — 0.5%  
    6,200,000     El Salvador Government International Bond, Reg S, 8.25%, due 04/10/32     2,554,787  
    6,275,000     El Salvador Government International Bond, Reg S, 7.65%, due 06/15/35     2,317,044  
    26,700,000     El Salvador Government International Bond, Reg S, 7.12%, due 01/20/50     9,516,882  
     

 

 

 
    Total El Salvador     14,388,713  
     

 

 

 
          Ethiopia — 0.1%      
          Sovereign and Sovereign Agency Issuers — 0.1%  
    3,290,000     Ethiopia International Bond, Reg S, 6.63%, due 12/11/24     2,014,714  
     

 

 

 
          Gabon — 0.5%      
          Sovereign and Sovereign Agency Issuers — 0.5%  
    5,600,000     Gabon Government International Bond, Reg S, 6.63%, due 02/06/31     4,615,800  
    9,500,000     Gabon Government International Bond, Reg S, 7.00%, due 11/24/31     7,833,344  
     

 

 

 
    Total Gabon     12,449,144  
     

 

 

 
          Ghana — 0.9%      
          Sovereign and Sovereign Agency Issuers — 0.9%  
    5,800,000     Republic of Ghana, Reg S, 8.13%, due 03/26/32     2,030,000  
    
Par Value†
    Description   Value ($)  
          Ghana — continued      
          Sovereign and Sovereign Agency Issuers —
continued
 
    6,100,000     Republic of Ghana, Reg S, 8.63%, due 06/16/49     2,006,519  
    24,400,000     Republic of Ghana, Reg S, 8.95%, due 03/26/51     8,125,200  
    27,800,000     Republic of Ghana, Reg S, 8.75%, due 03/11/61     8,953,337  
    7,121,144     Saderea DAC, Reg S, 12.50%, due 11/30/26     3,204,515  
     

 

 

 
    Total Ghana          24,319,571  
     

 

 

 
          Grenada — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    7,005,938     Grenada Government International Bond, Reg S, 7.00%, due 05/12/30     5,604,750  
     

 

 

 
          Guatemala — 0.9%      
          Sovereign and Sovereign Agency Issuers — 0.9%  
    3,915,000     Republic of Guatemala, Reg S, 8.13%, due 10/06/34     4,239,945  
    5,100,000     Republic of Guatemala, Reg S, 4.65%, due 10/07/41     3,999,675  
    16,700,000     Republic of Guatemala, Reg S, 6.13%, due 06/01/50     15,325,381  
     

 

 

 
    Total Guatemala     23,565,001  
     

 

 

 
          Honduras — 0.4%      
          Sovereign and Sovereign Agency Issuers — 0.4%  
    14,000,000     Honduras Government International Bond, Reg S, 5.63%, due 06/24/30     10,664,500  
     

 

 

 
          Hungary — 1.1%      
          Sovereign and Sovereign Agency Issuers — 1.1%  
    23,900,000     Hungary Government International Bond, 144A, 5.50%, due 06/16/34     22,851,388  
    12,000,000     Hungary Government International Bond, Reg S, 3.13%, due 09/21/51     7,183,500  
     

 

 

 
    Total Hungary     30,034,888  
     

 

 

 
          India — 1.7%      
          Corporate Debt  
    24,100,000     Delhi International Airport Ltd., Reg S, 6.45%, due 06/04/29     22,111,750  
    800,000     GMR Hyderabad International Airport Ltd., Reg S, 4.75%, due 02/02/26     732,650  
    17,140,000     GMR Hyderabad International Airport Ltd., Reg S, 4.25%, due 10/27/27     14,502,582  
    8,750,000     India Airport Infra, Reg S, 6.25%, due 10/25/25     8,181,250  
     

 

 

 
    Total India     45,528,232  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          Indonesia — 3.7%      
          Sovereign and Sovereign Agency Issuers — 3.7%  
    3,750,000     Freeport Indonesia PT, Reg S, 6.20%, due 04/14/52     3,234,375  
    7,500,000     Hutama Karya Persero PT, Reg S, 3.75%, due 05/11/30     6,760,781  
    17,000,000     Indonesia Asahan Aluminium Persero PT, Reg S, 5.80%, due 05/15/50     13,863,500  
    10,191,000     Indonesia Government International Bond, 5.45%, due 09/20/52     9,962,824  
    16,600,000     Minejesa Capital BV, Reg S, 5.63%, due 08/10/37     12,769,550  
    9,200,000     Pertamina Persero PT, Reg S, 6.50%, due 05/27/41     9,385,725  
    6,700,000     Pertamina Persero PT, Reg S, 4.15%, due 02/25/60     4,829,092  
    11,500,000     Perusahaan Listrik Negara PT, Reg S, 6.25%, due 01/25/49     10,661,219  
    7,200,000     Perusahaan Penerbit SBSN Indonesia III, 144A, 4.70%, due 06/06/32     7,110,792  
    20,849,000     Saka Energi Indonesia PT, Reg S, 4.45%, due 05/05/24     19,806,550  
     

 

 

 
    Total Indonesia          98,384,408  
     

 

 

 
          Israel — 0.5%      
          Sovereign and Sovereign Agency Issuers — 0.5%  
    10,683,000     Israel Electric Corp., Ltd., Reg S, 8.10%, due 12/15/96     12,206,503  
     

 

 

 
          Ivory Coast — 0.8%      
          Sovereign and Sovereign Agency Issuers — 0.8%  

EUR

    1,500,000     Ivory Coast Government International Bond, Reg S, 6.88%, due 10/17/40     1,191,454  

EUR

    26,000,000     Ivory Coast Government International Bond, Reg S, 6.63%, due 03/22/48     19,417,467  
     

 

 

 
    Total Ivory Coast     20,608,921  
     

 

 

 
          Jamaica — 0.8%      
          Corporate Debt — 0.2%  
    7,477,310     TransJamaican Highway Ltd., Reg S, 5.75%, due 10/10/36     5,892,120  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 0.6%  
    4,375,000     Jamaica Government International Bond, 7.88%, due 07/28/45     4,791,445  
    9,300,000     National Road Operating & Construction Co., Ltd., Reg S, 9.38%, due 11/10/24 (c)     9,732,450  
     

 

 

 
        14,523,895  
     

 

 

 
    Total Jamaica     20,416,015  
     

 

 

 
          Jordan — 1.6%  
          Sovereign and Sovereign Agency Issuers — 1.6%  
    6,000,000     Jordan Government International Bond, 144A, 7.75%, due 01/15/28     6,142,500  
    
Par Value†
    Description   Value ($)  
          Jordan — continued  
          Sovereign and Sovereign Agency Issuers —
continued
 
    44,195,000     Jordan Government International Bond, Reg S, 7.38%, due 10/10/47     36,902,825  
     

 

 

 
    Total Jordan     43,045,325  
     

 

 

 
          Kazakhstan — 0.8%  
          Sovereign and Sovereign Agency Issuers — 0.8%  
    1,600,000     KazMunayGas National Co JSC, Reg S, 5.75%, due 04/19/47     1,201,400  
    26,000,000     KazMunayGas National Co JSC, Reg S, 6.38%, due 10/24/48     20,767,500  
     

 

 

 
    Total Kazakhstan     21,968,900  
     

 

 

 
          Kenya — 1.2%      
          Sovereign and Sovereign Agency Issuers — 1.2%  
    40,694,000     Kenya Government International Bond, Reg S, 8.25%, due 02/28/48          31,893,923  
     

 

 

 
          Kuwait — 0.1%      
          Corporate Debt  
    3,300,000     Equate Petrochemical BV, Reg S, 2.63%, due 04/28/28     2,815,725  
     

 

 

 
          Lebanon — 0.4%      
          Sovereign and Sovereign Agency Issuers — 0.4%  
    20,400,000     Lebanon Government International Bond, Reg S, 6.85%, due 03/23/27 (d)     1,151,325  
    5,547,000     Lebanon Government International Bond, Reg S, 7.00%, due 03/20/28 (d)     309,592  
    60,605,000     Lebanon Government International Bond, Reg S, 7.15%, due 11/20/31 (d)     3,515,090  
    21,000,000     Lebanon Government International Bond, 8.20%, due 05/17/33 (d)     1,218,000  
    56,914,000     Lebanon Government International Bond, 8.25%, due 05/17/34 (d)     3,301,012  
     

 

 

 
    Total Lebanon     9,495,019  
     

 

 

 
          Malaysia — 1.1%      
          Sovereign and Sovereign Agency Issuers — 1.1%  
    18,300,000     1MDB Global Investments Ltd., Reg S, 4.40%, due 03/09/23     17,920,275  
    4,900,000     Dua Capital Ltd., Reg S, 2.78%, due 05/11/31     3,981,250  
    6,800,000     Petronas Capital Ltd, Reg S, 4.80%, due 04/21/60     6,300,744  
     

 

 

 
    Total Malaysia     28,202,269  
     

 

 

 
          Mexico — 5.6%      
          Sovereign and Sovereign Agency Issuers — 5.6%  
    128,700,000     Petroleos Mexicanos, 7.69%, due 01/23/50     87,606,090  
    19,086,000     Petroleos Mexicanos, 6.95%, due 01/28/60     11,905,847  
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          Mexico — continued      
          Sovereign and Sovereign Agency Issuers —
continued
 
    5,200,000     Petroleos Mexicanos, Reg S, 6.63%, due 12/28/2170     3,017,976  

GBP

    52,296,000     United Mexican States, 5.63%, due 03/19/2114     46,878,401  
     

 

 

 
    Total Mexico        149,408,314  
     

 

 

 
          Mongolia — 0.1%      
          Sovereign and Sovereign Agency Issuers — 0.1%  
    3,000,000     Mongolia Government International Bond, Reg S, 4.45%, due 07/07/31     2,160,330  
     

 

 

 
          Montenegro — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  

EUR

    6,600,000     Montenegro Government International Bond, Reg S, 2.88%, due 12/16/27     5,480,632  
     

 

 

 
          Morocco — 0.5%      
          Sovereign and Sovereign Agency Issuers — 0.5%  
    8,500,000     OCP SA, Reg S, 5.13%, due 06/23/51     6,063,156  
    9,200,000     Office Cherifien des Phosphates SA, Reg S, 6.88%, due 04/25/44     8,316,225  
     

 

 

 
    Total Morocco     14,379,381  
     

 

 

 
          Mozambique — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    7,576,000     Mozambique International Bond, Reg S, Step Up, 5.00%, due 09/15/31     5,683,421  
     

 

 

 
          Nigeria — 1.1%      
          Sovereign and Sovereign Agency Issuers — 1.1%  
    43,050,000     Nigeria Government International Bond, Reg S, 8.25%, due 09/28/51     29,381,625  
     

 

 

 
          Oman — 3.5%      
          Sovereign and Sovereign Agency Issuers — 3.5%  
    11,500,000     Lamar Funding Ltd., Reg S, 3.96%, due 05/07/25     10,919,968  
    79,500,000     Oman Government International Bond, Reg S, 6.75%, due 01/17/48     72,841,875  
    4,400,000     Oman Government International Bond, Reg S, 7.00%, due 01/25/51     4,114,000  
    5,900,000     Oryx Funding Ltd., Reg S, 5.80%, due 02/03/31     5,572,919  
     

 

 

 
    Total Oman     93,448,762  
     

 

 

 
          Pakistan — 0.3%      
          Sovereign and Sovereign Agency Issuers — 0.3%  
    14,700,000     Islamic Republic of Pakistan, Reg S, 7.88%, due 03/31/36     5,377,444  
    4,826,000     Pakistan Water & Power Development Authority, Reg S, 7.50%, due 06/04/31     1,436,640  
     

 

 

 
    Total Pakistan     6,814,084  
     

 

 

 
    
Par Value†
    Description   Value ($)  
          Panama — 1.8%      
          Sovereign and Sovereign Agency Issuers — 1.8%  
    21,300,000     Aeropuerto Internacional de Tocumen SA, Reg S, 5.13%, due 08/11/61     16,045,556  
    2,900,000     AES Panama Generation Holdings SRL, Reg S, 4.38%, due 05/31/30     2,430,200  
    9,837,000     Panama Government International Bond, 8.13%, due 04/28/34     11,312,550  
    15,500,000     Panama Government International Bond, 4.50%, due 04/01/56     11,492,281  
    10,200,000     Panama Government International Bond, 4.50%, due 01/19/63     7,415,400  
     

 

 

 
    Total Panama          48,695,987  
     

 

 

 
          Papua New Guinea — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  
    1,100,000     Papua New Guinea Government International Bond, Reg S, 8.38%, due 10/04/28     927,644  
     

 

 

 
          Peru — 2.2%      
          Sovereign and Sovereign Agency Issuers — 2.2%  

PEN

    42,800,000     Peru Government Bond, 6.15%, due 08/12/32     10,019,865  
    13,100,000     Peruvian Government International Bond, 3.60%, due 01/15/72     8,724,600  
    16,000,000     Peruvian Government International Bond, 3.23%, due 07/28/2121     9,600,000  
    43,995,000     Petroleos del Peru SA, Reg S, 5.63%, due 06/19/47     29,861,166  
     

 

 

 
    Total Peru     58,205,631  
     

 

 

 
          Philippines — 2.0%      
          Sovereign and Sovereign Agency Issuers — 2.0%  
    3,800,000     Bangko Sentral ng Pilipinas Bond, 8.60%, due 06/15/97 (c)     4,864,000  
    3,200,000     Philippine Government International Bond, 3.20%, due 07/06/46     2,320,352  
    8,700,000     Philippine Government International Bond, 5.95%, due 10/13/47     9,353,457  
    32,512,000     Power Sector Assets & Liabilities Management Corp., 9.63%, due 05/15/28     37,226,240  
     

 

 

 
    Total Philippines     53,764,049  
     

 

 

 
          Poland — 0.4%      
          Sovereign and Sovereign Agency Issuers — 0.4%  
    11,400,000     Republic of Poland Government International Bond, 5.75%, due 11/16/32     11,997,816  
     

 

 

 
          Qatar — 0.4%      
          Sovereign and Sovereign Agency Issuers — 0.4%  
    10,878,000     QNB Finansbank AS, Reg S, 6.88%, due 09/07/24     11,050,008  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          Republic of North Macedonia — 0.2%  
          Sovereign and Sovereign Agency Issuers — 0.2%  

EUR

    6,300,000     North Macedonia Government International Bond, Reg S, 1.63%, due 03/10/28     5,229,464  
     

 

 

 
          Romania — 1.7%      
          Sovereign and Sovereign Agency Issuers — 1.7%  

EUR

    16,200,000     Romanian Government International Bond, 144A, 6.63%, due 09/27/29          17,095,920  
    10,900,000     Romanian Government International Bond, Reg S, 6.00%, due 05/25/34     10,248,044  

EUR

    7,300,000     Romanian Government International Bond, Reg S, 2.88%, due 04/13/42     4,459,550  

EUR

    5,600,000     Romanian Government International Bond, Reg S, 4.63%, due 04/03/49     4,373,434  

EUR

    14,900,000     Romanian Government International Bond, Reg S, 3.38%, due 01/28/50     9,407,623  
     

 

 

 
    Total Romania     45,584,571  
     

 

 

 
          Russia — 0.7%      
          Sovereign and Sovereign Agency Issuers — 0.7%  
    6,870,000     GTLK Europe Capital DAC, Reg S, 4.65%, due 03/10/27 (c) (d) (f)     343,500  
    5,200,000     GTLK Europe Capital DAC, Reg S, 4.80%, due 02/26/28 (c) (d) (f)     260,000  
    6,800,000     GTLK Europe Capital DAC, Reg S, 4.35%, due 02/27/29 (c) (d) (f)     340,000  
    6,400,000     Russian Foreign Bond, Reg S, 5.10%, due 03/28/35 (c) (d)     2,688,000  
    34,000,000     Russian Foreign Bond, 144A, 5.10%, due 03/28/35 (c) (d)     14,280,000  
     

 

 

 
    Total Russia     17,911,500  
     

 

 

 
          Saudi Arabia — 3.3%      
          Corporate Debt — 0.3%  
    11,900,000     EIG Pearl Holdings Sarl, 144A, 4.39%, due 11/30/46     8,939,875  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 3.0%  
    29,989,900     ACWA Power Management And Investments One Ltd., Reg S, 5.95%, due 12/15/39     27,890,607  
    70,500,000     Saudi Government International Bond, Reg S, 3.45%, due 02/02/61     50,442,750  
     

 

 

 
        78,333,357  
     

 

 

 
    Total Saudi Arabia     87,273,232  
     

 

 

 
          Senegal — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    7,100,000     Senegal Government International Bond, Reg S, 6.75%, due 03/13/48     5,086,706  
     

 

 

 
    
Par Value†
    Description   Value ($)  
          Serbia — 0.3%      
          Sovereign and Sovereign Agency Issuers — 0.3%  

EUR

    13,600,000     Serbia International Bond, Reg S, 2.05%, due 09/23/36            8,533,753  
     

 

 

 
          South Africa — 4.2%      
          Sovereign and Sovereign Agency Issuers — 4.2%  
    9,520,000     Eskom Holdings SOC, Ltd., Reg S, 7.13%, due 02/11/25     8,907,150  
    17,900,000     Eskom Holdings SOC, Ltd., Reg S, 8.45%, due 08/10/28     16,423,250  

ZAR

    165,550,000     Eskom Holdings SOC, Ltd., Zero Coupon, due 12/31/32     1,782,281  

ZAR

    441,200,000     Republic of South Africa Government International Bond, 6.50%, due 02/28/41     16,050,912  
    67,000,000     Republic of South Africa Government International Bond, 5.75%, due 09/30/49     50,920,000  
    18,500,000     Republic of South Africa Government International Bond, 7.30%, due 04/20/52     16,256,875  

ZAR

    22,200,000     Transnet SOC, Ltd., 13.50%, due 04/18/28     1,421,415  
     

 

 

 
    Total South Africa     111,761,883  
     

 

 

 
          Sri Lanka — 0.8%      
          Sovereign and Sovereign Agency Issuers — 0.8%  
    5,880,000     Sri Lanka Government International Bond, Reg S, 6.83%, due 07/18/26 (d)     1,812,877  
    9,444,000     Sri Lanka Government International Bond, Reg S, 6.20%, due 05/11/27 (d)     2,881,459  
    28,000,000     Sri Lanka Government International Bond, Reg S, 6.75%, due 04/18/28 (d)     8,370,250  
    7,100,000     Sri Lanka Government International Bond, Reg S, 7.85%, due 03/14/29 (d)     2,120,238  
    24,400,000     Sri Lanka Government International Bond, Reg S, 7.55%, due 03/28/30 (d)     7,301,700  
     

 

 

 
    Total Sri Lanka     22,486,524  
     

 

 

 
          SupraNational — 0.0%      
          Sovereign and Sovereign Agency Issuers — 0.0%  

TRY

    213,500,000     International Finance Corp., Reg S, Zero Coupon, due 02/15/29     1,348,035  
     

 

 

 
          Suriname — 0.8%      
          Sovereign and Sovereign Agency Issuers — 0.8%  
    13,600,000     Republic of Suriname, Reg S, 12.88%, due 12/30/23 (d)     10,714,250  
    14,259,000     Republic of Suriname, Reg S, 9.25%, due 10/26/26 (d)     10,148,843  
     

 

 

 
  Total Suriname     20,863,093  
     

 

 

 
          Tajikistan — 0.2%      
          Sovereign and Sovereign Agency Issuers — 0.2%  
    9,274,000     Republic of Tajikistan International Bond, Reg S, 7.13%, due 09/14/27     6,200,828  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          Trinidad And Tobago — 1.3%      
          Sovereign and Sovereign Agency Issuers — 1.3%  
    21,100,000     Heritage Petroleum Co., Ltd., 144A, 9.00%, due 08/12/29          22,023,125  
    9,300,000     Telecommunications Services of Trinidad & Tobago Ltd, Reg S, 8.88%, due 10/18/29     8,009,625  
    4,927,000     Trinidad Generation UnLtd., Reg S, 5.25%, due 11/04/27     4,707,749  
     

 

 

 
  Total Trinidad And Tobago     34,740,499  
     

 

 

 
          Tunisia — 1.1%      
          Sovereign and Sovereign Agency Issuers — 1.1%  

JPY

    5,960,000,000     Banque Centrale de Tunisie SA, 4.30%, due 08/02/30 (c)     20,150,102  

JPY

    2,030,000,000     Banque Centrale de Tunisie SA, 4.20%, due 03/17/31 (c)     6,695,327  

JPY

    730,000,000     Banque Centrale de Tunisie SA, 3.50%, due 02/03/33     2,061,699  
     

 

 

 
  Total Tunisia     28,907,128  
     

 

 

 
          Turkey — 4.2%      
          Sovereign and Sovereign Agency Issuers — 4.2%  
    16,300,000     Istanbul Metropolitan Municipality, Reg S, 6.38%, due 12/09/25     14,275,744  
    1,100,000     Istanbul Metropolitan Municipality, 144A, 10.75%, due 04/12/27     1,041,081  
    18,702,000     Republic of Turkey, 6.00%, due 01/14/41     13,605,705  
    123,313,000     Republic of Turkey, 5.75%, due 05/11/47     83,852,840  
     

 

 

 
  Total Turkey     112,775,370  
     

 

 

 
          Ukraine — 0.8%      
          Sovereign and Sovereign Agency Issuers — 0.8%  

EUR

    3,100,000     NAK Naftogaz Ukraine via Kondor Finance Plc, Reg S, 7.13%, due 07/19/24 (c) (d)     612,913  
    14,000,000     NAK Naftogaz Ukraine via Kondor Finance Plc, Reg S, 7.63%, due 11/08/26 (c) (d)     2,520,000  
    5,500,000     NPC Ukrenergo, Reg S, 6.88%, due 11/09/28 (c) (d)     990,000  
    7,400,000     State Agency of Roads of Ukraine, Reg S, 6.25%, due 06/24/30 (c) (d)     1,298,700  
    6,519,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/28 (c) (d)     1,522,186  
    4,769,000     Ukraine Government International Bond, Reg S, 7.75%, due 09/01/29 (c) (d)     1,123,100  
    3,800,000     Ukraine Government International Bond, Reg S, 9.75%, due 11/01/30 (c) (d)     907,962  
    30,500,000     Ukraine Government International Bond, Reg S, 7.38%, due 09/25/34 (c) (d)     6,448,844  
    24,300,000     Ukraine Government International Bond, Reg S, 7.25%, due 03/15/35 (c) (d)     5,046,806  
    
Par Value†
    Description   Value ($)  
          Ukraine — continued      
          Sovereign and Sovereign Agency Issuers —
continued
 
    200,000     Ukraine Railways Via Rail Capital Markets Plc, Reg S, 7.88%, due 07/15/26 (c)     39,288  
     

 

 

 
  Total Ukraine          20,509,799  
     

 

 

 
                United Arab Emirates — 1.7%      
          Sovereign and Sovereign Agency Issuers — 1.7%  
    3,700,000     Abu Dhabi Crude Oil Pipeline LLC, Reg S, 4.60%, due 11/02/47     3,304,100  
    6,700,000     Abu Dhabi Government International Bond, Reg S, 3.13%, due 09/30/49     4,867,131  
    7,400,000     Abu Dhabi Government International Bond, Reg S, 2.70%, due 09/02/70     4,545,450  
    6,200,000     DAE Funding LLC, Reg S, 3.38%, due 03/20/28     5,417,250  
    15,900,000     Finance Department Government of Sharjah, Reg S, 4.00%, due 07/28/50     9,875,888  
    23,000,000     Finance Department Government of Sharjah, Reg S, 4.38%, due 03/10/51     14,875,250  
    2,700,000     MDGH GMTN (RSC) Ltd, 144A, 5.50%, due 04/28/33     2,831,625  
     

 

 

 
  Total United Arab Emirates     45,716,694  
     

 

 

 
          United States — 1.2%      
          Asset-Backed Securities — 0.3%  
    837,579     CWHEQ Revolving Home Equity Loan Trust, Series 05-F, Class 2A, AMBAC, Variable Rate, 1 mo. LIBOR + 0.24%, 4.12%, due 12/15/35     796,364  
    270,315     CWHEQ Revolving Home Equity Loan Trust, Series 05-H, Class 2A, FGIC, Variable Rate, 1 mo. LIBOR + 0.24%, 4.12%, due 12/15/35     264,532  
    595,274     CWHEQ Revolving Home Equity Loan Trust, Series 06-D, Class 2A, XLCA, Variable Rate, 1 mo. LIBOR + 0.20%, 4.08%, due 05/15/36     560,429  
    6,631,086     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A3, Variable Rate, 1 mo. LIBOR + 0.15%, 4.19%, due 11/25/36     2,162,104  
    6,685,439     Morgan Stanley IXIS Real Estate Capital Trust, Series 06-2, Class A4, Variable Rate, 1 mo. LIBOR + 0.22%, 4.26%, due 11/25/36     2,181,125  
    3,474,091     Wamu Asset-Backed Certificates, Series 07-HE2, Class 2A4, Variable Rate, 1 mo. LIBOR + 0.36%, 4.40%, due 04/25/37     1,338,149  
     

 

 

 
      7,302,703  
     

 

 

 
          Corporate Debt — 0.0%      
    311,625     AMBAC Assurance Corp., 144A, 5.10%, due 12/31/99     432,380  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Par Value†
    Description   Value ($)  
          United States — continued      
          U.S. Government — 0.9%  
    26,000,000     U.S. Treasury Note, 3.38%, due 08/15/42 (g)          23,785,938  
     

 

 

 
  Total United States     31,521,021  
     

 

 

 
          Uruguay — 0.6%      
          Sovereign and Sovereign Agency Issuers — 0.6%  
    17,018,000     Uruguay Government International Bond, 5.10%, due 06/18/50     16,890,365  
     

 

 

 
                Uzbekistan — 0.5%      
          Sovereign and Sovereign Agency Issuers — 0.5%  
    6,200,000     Republic of Uzbekistan International Bond, Reg S, 3.70%, due 11/25/30     5,054,163  
    1,037,000     Uzbek Industrial & Construction Bank ATB, Reg S, 5.75%, due 12/02/24     942,244  
    8,100,000     Uzbekneftegaz JSC, Reg S, 4.75%, due 11/16/28     6,338,250  
     

 

 

 
  Total Uzbekistan     12,334,657  
     

 

 

 
          Venezuela — 1.4%      
          Sovereign and Sovereign Agency Issuers — 1.4%  
    111,465,000     Electricidad de Caracas Finance BV, Reg S, 8.50%, due 04/10/18 (c) (d)     835,988  
    176,000,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 05/16/24 (c) (d)     7,480,000  
    61,967,000     Petroleos de Venezuela SA, Reg S, 6.00%, due 11/15/26 (c) (d)     2,633,597  
    19,028,000     Venezuela Government International Bond, Reg S, 7.75%, due 10/13/19 (c) (d)     1,569,810  
    36,600,000     Venezuela Government International Bond, Reg S, 6.00%, due 12/09/20 (c) (d)     3,019,500  
    23,750,000     Venezuela Government International Bond, Reg S, 12.75%, due 08/23/22 (c) (d)     1,959,377  
    172,793,000     Venezuela Government International Bond, Reg S, 9.00%, due 05/07/23 (c) (d)     14,255,422  
    68,700,000     Venezuela Government International Bond, Reg S, 11.95%, due 08/05/31 (c) (d)     5,667,750  
    7,000,000     Venezuela Government International Bond, 9.38%, due 01/13/34 (c) (d)     577,500  
     

 

 

 
  Total Venezuela     37,998,944  
     

 

 

 
          Vietnam — 0.8%      
          Sovereign and Sovereign Agency Issuers — 0.8%  
    18,358,000     Debt and Asset Trading Corp., Reg S, 1.00%, due 10/10/25     15,079,950  
    8,018,000     Socialist Republic of Vietnam, Series 30 Yr, Variable Rate, 6 mo. LIBOR + 0.81%, 6.02%, due 03/13/28 (c)     7,336,470  
     

 

 

 
  Total Vietnam     22,416,420  
     

 

 

 
    
Par Value†
    Description   Value ($)  
          Zambia — 0.5%      
          Sovereign and Sovereign Agency Issuers — 0.5%  
    2,900,000     Zambia Government International Bond, Reg S, 5.38%, due 09/20/22 (d)     1,218,000  
    26,072,000     Zambia Government International Bond, Reg S, 8.97%, due 07/30/27 (d)     11,862,760  
     

 

 

 
  Total Zambia     13,080,760  
     

 

 

 
  TOTAL DEBT OBLIGATIONS (COST $3,632,270,251)     2,427,112,624  
     

 

 

 
                LOAN ASSIGNMENTS — 1.3%      
          Chad — 0.5%  
    3,001,628     Glencore UK (Chad) Loan Agreement, Tranche A, Variable Rate, 3 mo. LIBOR + 2.00%, 6.78%, due 09/30/25 (c)     2,446,327  
    13,947,501     Glencore UK (Chad) Loan Agreement, Tranche B, Variable Rate, 3 mo. LIBOR + 2.25%, 7.03%, due 12/31/27 (c)     9,344,826  
     

 

 

 
  Total Chad     11,791,153  
     

 

 

 
      Kenya — 0.1%      
    2,458,335     Republic of Kenya Loan Agreement, 6 mo. LIBOR + 6.70%, 11.90%, due 04/10/25 (a)     2,252,410  
     

 

 

 
      Turkey — 0.7%      
    21,110,714     Meridiam Eastern Europe Investment S.à.r.l. Loan Agreement, 8.85%, due 06/23/28 (a)     19,771,029  
     

 

 

 
  TOTAL LOAN ASSIGNMENTS
(COST $38,942,358)
    33,814,592  
     

 

 

 
          LOAN PARTICIPATIONS — 0.8%  
          Angola — 0.5%  
    291,000     Republic of Angola Loan Agreement (Participation via Avenir II BV), Reg S, 6 mo. LIBOR + 4.50%, 9.70%, due 12/07/23 (c)     288,090  
    8,742,857     Republic of Angola Loan Agreement (Participation via Avenir Issuer II Ireland DAC), Reg S, 6.93%, due 02/19/27 (c)     7,923,214  
    5,133,334     Republic of Angola Loan Agreement (Participation with GE Capital EFS Financing, Inc), 7.50%, due 08/30/24 (c)     4,825,334  
     

 

 

 
  Total Angola     13,036,638  
     

 

 

 
      Egypt — 0.0%      

CHF

    353     Paris Club Loan Agreement (Participation with Standard Chartered Bank), Zero Coupon, due 01/03/24 (a)     321  
     

 

 

 
 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Par Value† /

Shares

    Description   Value ($)  
      Iraq — 0.2%      

EUR

    615,808     Republic of Iraq Paris Club Loan Agreement (Participation with Credit Suisse), 4.50%, due 12/30/27 (c)     474,199  

JPY

    981,061,970     Republic of Iraq Paris Club Loan Agreement (Participation with Deutsche Bank), 2.57%, due 01/01/28 (c)     4,990,919  

JPY

    208,256,139     Republic of Iraq Paris Club Loan Agreement (Participation with Deutsche Bank), 2.57%, due 01/01/28 (c)     1,059,454  

JPY

    88,520,104     Republic of Iraq Paris Club Loan Agreement (Participation with Deutsche Bank), 2.57%, due 01/01/28 (c)     450,325  
     

 

 

 
  Total Iraq     6,974,897  
     

 

 

 
      Russia — 0.0%      

EUR

    76,893,500     Russian Foreign Trade Obligations (Participation with GML International Ltd.) (c) (d)     2  
     

 

 

 
      Sudan — 0.1%      

CHF

    11,833,578     Republic of Sudan Loan Agreement, Tranche A (Participation via Abu Dhabi Investment Company) (c) (d)     1,250,576  

CHF

    5,155,077     Republic of Sudan Loan Agreement, Tranche B (Participation via Abu Dhabi Investment Company) (c) (d)     544,790  
     

 

 

 
  Total Sudan     1,795,366  
     

 

 

 
  TOTAL LOAN PARTICIPATIONS
(COST $43,752,093)
    21,807,224  
     

 

 

 
      INVESTMENT FUNDS — 0.2%  
      Colombia — 0.2%      
    6,371,845     Bona Fide Investments Feeder LLC (a) (h)     6,753,722  
     

 

 

 
  TOTAL INVESTMENT FUNDS
(COST $6,371,845)
           6,753,722  
     

 

 

 

Par Value† /

Shares

    Description   Value ($)  
  MUTUAL FUNDS — 2.5%

 

      United States — 2.5%      
      Affiliated Issuers — 2.5%  
    13,532,923     GMO U.S. Treasury Fund     67,393,959  
     

 

 

 
  TOTAL MUTUAL FUNDS (COST $67,761,027)     67,393,959  
     

 

 

 
      RIGHTS/WARRANTS — 0.3%  
      Argentina — 0.2%      

EUR

    271,989,676     Republic of Argentina GDP Linked, Variable Rate, Expires 12/15/35 (i)     3,590,974  

JPY

    600,789,000     Republic of Argentina GDP Linked, Variable Rate, Expires 12/15/35 (a) (i)     27,600  
     

 

 

 
  Total Argentina     3,618,574  
     

 

 

 
      Ukraine — 0.1%      
    11,746,000     Government of Ukraine GDP Linked, Variable Rate, Reg S, Expires 08/01/41 (c) (i)     3,459,931  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $44,800,544)
    7,078,505  
     

 

 

 
    TOTAL INVESTMENTS — 96.1%
(Cost $3,833,898,118)
    2,563,960,626  
    Other Assets and Liabilities (net) — 3.9%     104,459,047  
     

 

 

 
  TOTAL NET ASSETS — 100.0%   $ 2,668,419,673  
     

 

 

 
 

 

Additional information on each restricted security is as follows:

 

Issuer Description

   Acquisition Date    Acquisition
Cost
     Value as a
Percentage
of Fund’s
Net Assets
  Value as of
November 30, 2022
 
Bona Fide Investments Feeder LLC    12/31/21    $ 6,371,845      0.2%   $ 6,753,722  
GTLK Europe Capital DAC, Reg S, 4.65%, due 03/10/27    04/30/20      6,673,134      0.0%     343,500  
GTLK Europe Capital DAC, Reg S, 4.80%, due 02/26/28    03/12/21      5,336,810      0.0%     260,000  
GTLK Europe Capital DAC, Reg S, 4.35%, due 02/27/29    01/26/22      5,861,462      0.0%     340,000  
          

 

 

 
           $ 7,697,222  
          

 

 

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Bond Forward Contracts

 

Reference Entity

   Counterparty    Notional
Amount
     Expiration
Date
     Net Unrealized
Appreciation/
(Depreciation) ($)
 
Colombian TES    CITI      COP        78,000,000,000        12/01/22        746,165  
Colombian TES    CITI      COP        101,950,000,000        12/06/22        924,233  
Colombian TES    CITI      COP        59,980,000,000        12/06/22        202,358  
              

 

 

 
               $ 1,872,756  
              

 

 

 

Forward Currency Contracts

 

Settlement
Date
    

Counterparty

     Currency
Sold
       Currency
Purchased
       Net Unrealized
Appreciation
(Depreciation) ($)
 
01/12/2023      MSCI        COP       67,220,000,000          USD       14,408,598          580,680  
02/21/2023      BOA        EUR       7,300,000          USD       7,664,667          20,591  
12/02/2022      MSCI        USD       10,532,886          BRL       56,200,000          296,987  
12/02/2022      GS        USD       3,196,745          BRL       17,000,000          79,196  
02/28/2023      MSCI        ZAR       289,300,000          USD       16,765,086          146,474  
12/02/2022      MSCI        BRL       56,200,000          USD       10,441,821          (388,052
02/02/2023      MSCI        BRL       12,700,000          USD       2,329,762          (88,618
02/02/2023      CITI        BRL       16,000,000          USD       2,945,161          (101,617
12/02/2022      GS        BRL       17,000,000          USD       3,211,122          (64,818
02/21/2023      DB        EUR       85,000,000          USD       88,542,095          (464,274
02/21/2023      SSB        EUR       23,200,000          USD       24,127,072          (166,431
02/21/2023      MSCI        GBP       35,811,000          USD       42,328,602          (938,915
02/21/2023      CITI        GBP       4,000,000          USD       4,830,406          (2,468
01/17/2023      MSCI        JPY       1,308,600,000          USD       9,003,561          (530,885
01/17/2023      SSB        JPY       3,800,000,000          USD       27,167,696          (519,064
01/12/2023      MSCI        PEN       36,200,000          USD       9,015,785          (389,231
                       

 

 

 
                        $ (2,530,445
                       

 

 

 

Reverse Repurchase Agreements

 

     Average balance outstanding    $ (4,305,840
     Average interest rate (net)      1.04
     Maximum balance outstanding    $ (12,778,500

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.


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Credit Linked Options

 

Principal /

Notional Amount

    Expiration
Date
 

Description

  Premiums
Paid/
(Received) ($)
    Value ($)  
Put Sold   USD     7,946,000     01/24/2024   Republic of Philippines Credit Linked Put Option, Fund receives premium of 0.25% (OTC) (CP-DB) (a)     (147,322     24,395  
Put Sold   USD     41,197,000     04/15/2024   Banco do Brasil Credit Linked Put Option, Fund receives premium of 0.30% (OTC) (CP-DB) (a)     (1,327,119     112,965  
Put Sold   USD     81,200,000     04/15/2024   Banco do Brasil Credit Linked Put Option, Fund receives premium of 0.44% (OTC) (CP-DB) (a)     (4,382,889     95,601  
         

 

 

   

 

 

 
          $ (5,857,330   $ 232,961  
 

 

 

   

 

 

 

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.EM.38.V1

       USD        116,100,000      1.00%    2.27%    N/A    12/20/2027    Quarterly    $ 11,377,800      $ 6,317,930      $ (5,059,870
  

 

 

    

 

 

    

 

 

 

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^:

 

Republic of Ghana

  JPM   USD     3,000,000     5.00%   314.17%   N/A     06/20/2023     Quarterly     (91,227     1,768,860       1,860,087  

Republic of Ghana

  JPM   USD     3,000,000     5.00%   314.17%   N/A     06/20/2023     Quarterly     (91,022     1,768,860       1,859,882  

Republic of Ghana

  JPM   USD     3,000,000     5.00%   314.17%   N/A     06/20/2023     Quarterly     300,000       1,768,860       1,468,860  

Republic of Nigeria

  JPM   USD     9,100,000     5.00%   5.16%   N/A     12/20/2023     Quarterly     182,831       14,659       (168,172

Republic of Ghana

  JPM   USD     6,100,000     5.00%   191.53%   N/A     06/20/2024     Quarterly     47,726       3,960,865       3,913,139  

Petrobras Global Finance BV

  CITI   USD     40,600,000     1.00%   1.35%   N/A     12/20/2024     Quarterly     644,565       277,047       (367,518

Republic of Brazil

  CITI   USD     14,000,000     1.00%   1.18%   N/A     12/20/2024     Quarterly     128,035       48,419       (79,616

Republic of Colombia

  CITI   USD     45,000,000     1.00%   1.67%   N/A     12/20/2024     Quarterly     667,284       589,391       (77,893

Republic of South Africa

  BCLY   USD     37,800,000     1.00%   1.24%   N/A     12/20/2024     Quarterly     718,543       180,240       (538,303

Republic of Turkey

  BCLY   USD     14,000,000     1.00%   4.52%   N/A     12/20/2024     Quarterly     1,744,254       924,213       (820,041

Commonwealth of Bahamas

  DB   EUR     23,501,331     1.00%   5.62%   N/A     06/20/2025     Quarterly     2,918,259       1,548,546       (1,369,713

Kingdom of Bahrain

  MORD   USD     6,000,000     1.00%   2.41%   N/A     12/20/2027     Quarterly     546,195       366,812       (179,383

Republic of Colombia

  CITI   USD     4,900,000     1.00%   2.86%   N/A     12/20/2027     Quarterly     395,462       392,751       (2,711

Republic of South Africa

  GS   USD     54,200,000     1.00%   2.42%   N/A     12/20/2027     Quarterly     4,676,926       3,361,946       (1,314,980

Republic of Turkey

  MORD   USD     23,500,000     1.00%   5.22%   N/A     12/20/2027     Quarterly     5,716,848       3,927,315       (1,789,533

United States of Mexico

  MORD   USD     16,200,000     1.00%   1.28%   N/A     12/20/2027     Quarterly     497,689       204,621       (293,068

United States of Mexico

  GS   USD     16,200,000     1.00%   1.63%   N/A     06/20/2029     Quarterly     1,287,609       570,326       (717,283

United States of Mexico

  GS   USD     16,200,000     1.00%   1.93%   N/A     09/20/2031     Quarterly     2,138,931       1,061,518       (1,077,413


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Swap Contracts — continued

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) ($)
 

Sell Protection^:

                     

Commonwealth of Bahamas

  DB   USD     2,787,000     1.00%   4.30%     2,787,000 USD       06/20/2023     Quarterly     (508,123     (49,793     458,330  

Commonwealth of Bahamas

  DB   USD     5,675,000     1.00%   4.30%     5,675,000 USD       06/20/2023     Quarterly     (1,017,200     (101,390     915,810  

Commonwealth of Bahamas

  DB   USD     31,567,771     1.00%   5.61%     31,567,771 USD       06/20/2025     Quarterly     (3,380,251     (1,947,542     1,432,709  
                 

 

 

   

 

 

   

 

 

 
  $ 17,523,334     $ 20,636,524     $ 3,113,190  
 

 

 

   

 

 

   

 

 

 

 

^

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, 2022, 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) ($)
 

BRL-CDI

  13.5%   BRL     1,718,748,897       01/02/2025     At Maturity     (571,684     3,255,320       3,827,004  

0.30%

  JPY-TONA-OIS-COMPOUND   JPY     9,270,000,000       12/21/2027     Semi-Annually     (67,598     91,266       158,864  

USD - SOFR - COMPOUND

  4.01%   USD     33,900,000       12/21/2027     Semi-Annually           676,125       676,125  

0.58%

  JPY-TONA-OIS-COMPOUND   JPY     4,710,000,000       12/21/2032     Semi-Annually     (108,339     202,712       311,051  

2.80%

  6 Month EURIBOR   EUR     12,200,000       03/16/2033     Semi-Annually     (10,410     (138,554     (128,144

2.85%

  GBP - SONIA - COMPOUND   GBP     22,000,000       03/15/2053     Annually     92,273       512,867       420,594  

2.30%

  6 Month EURIBOR   EUR     30,200,000       03/19/2053     Semi-Annually     (91,667     (1,529,217     (1,437,550
           

 

 

   

 

 

   

 

 

 
  $ (757,425   $ 3,070,519     $ 3,827,944  
 

 

 

   

 

 

   

 

 

 

As of November 30, 2022, 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)

Security is in default.

 

(e)

Security is backed by the United States International Development Finance Corporation.

(f)

The security is restricted as to resale.

 

(g)

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.

 

(h)

Private placement security; restricted as to resale. Represents investment in a pool of constitutional obligations of the Colombian government owed to individuals.

 

(i)

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

The rates shown on variable rate notes are the current interest rates at November 30, 2022, which are subject to change based on the terms of the security.

 


GMO Emerging Country Debt Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Portfolio Abbreviations:

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

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

CDI - Certificado de Deposito Interbancario

CJSC - Closed Joint-Stock Company

EURIBOR - Euro Interbank Offered Rate

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

GDP - Gross Domestic Product

GMTN - Global Medium Term Note

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.

SOFR - Secured Overnight Financing Rate

SONIA - Sterling Overnight Interbank Average Rate

TONA - Tokyo Overnight Average Rate

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

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

Currency Abbreviations:

BRL - Brazil Real

CHF - Switzerland Franc

COP - Colombia Peso

EUR - Euro

GBP - United Kingdom Pound

JPY - Japan Yen

PEN - Peru Nuevo Sol

TRY - Turkish Lira

USD - United States Dollar

ZAR - South Africa Rand

 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    

    

Par Value†

    Description   Value ($)  
    DEBT OBLIGATIONS — 52.6%

 

          Corporate Debt — 13.0%      
    Australia — 0.8%  
    2,625,000     FMG Resources August 2006 Pty. Ltd., 144A, 4.38%, due 04/01/31     2,211,562  
     

 

 

 
          United Kingdom — 0.7%      
    190,000     Jaguar Land Rover Automotive Plc, 144A, 5.63%, due 02/01/23     188,145  
    1,020,000     Virgin Media Secured Finance Plc, 144A, 5.50%, due 05/15/29     942,337  
    1,000,000     Virgin Media Secured Finance Plc, 144A, 4.50%, due 08/15/30     835,131  
     

 

 

 
    Total United Kingdom         1,965,613  
     

 

 

 
          United States — 11.5%      
    325,000     Apache Corp., 5.35%, due 07/01/49     257,140  
    125,000     Bath & Body Works, Inc., 6.88%, due 11/01/35     113,125  
    740,000     Booz Allen Hamilton, Inc., 144A, 3.88%, due 09/01/28     666,918  
    1,000,000     Booz Allen Hamilton, Inc., 144A, 4.00%, due 07/01/29     886,630  
    3,750,000     CCO Holdings LLC / CCO Holdings Capital Corp., 144A, 4.75%, due 03/01/30     3,223,961  
    1,375,000     Centene Corp., 2.63%, due 08/01/31     1,081,052  
    250,000     Cogent Communications Group, Inc., 144A, 3.50%, due 05/01/26     226,100  
    748,000     CoreCivic, Inc., 8.25%, due 04/15/26     764,118  
    1,500,000     Crown Americas LLC, 144A, 5.25%, due 04/01/30     1,387,500  
    400,000     Enact Holdings, Inc., 144A, 6.50%, due 08/15/25     388,892  
    1,125,000     FirstEnergy Corp., 4.40%, due 07/15/27     1,060,898  
    125,000     Fluor Corp., 4.25%, due 09/15/28     113,755  
    670,000     Hexcel Corp., 4.20%, due 02/15/27     623,511  
    1,625,000     Icahn Enterprises LP / Icahn Enterprises Finance Corp., 4.38%, due 02/01/29     1,367,031  
    1,975,000     Iron Mountain Information Management Services, Inc., 144A, 5.00%, due 07/15/32     1,668,855  
    500,000     KB Home, 4.80%, due 11/15/29     432,500  
    625,000     Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp., 144A, 4.25%, due 02/01/27     545,313  
    1,500,000     Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp., 144A, 4.75%, due 06/15/29     1,226,390  
    1,625,000     Mattel, Inc., 144A, 3.38%, due 04/01/26     1,492,254  
    750,000     Molina Healthcare, Inc., 144A, 3.88%, due 05/15/32     632,813  
    625,000     Murphy Oil USA, Inc., 144A, 3.75%, due 02/15/31     511,351  
    262,000     New Fortress Energy, Inc., 144A, 6.75%, due 09/15/25     255,903  
    1,500,000     New Fortress Energy, Inc., 144A, 6.50%, due 09/30/26     1,449,682  
    

    

Par Value†

    Description   Value ($)  
          Corporate Debt — continued      
    United States — continued  
    1,125,000     Newell Brands, Inc., 5.63%, due 04/01/36     962,944  
    812,000     Occidental Petroleum Corp., 8.50%, due 07/15/27     885,080  
    850,000     OneMain Finance Corp., 6.13%, due 03/15/24     829,005  
    250,000     OneMain Finance Corp., 6.88%, due 03/15/25     242,824  
    875,000     OneMain Finance Corp., 7.13%, due 03/15/26     847,696  
    375,000     OneMain Finance Corp., 6.63%, due 01/15/28     344,813  
    1,750,000     PDC Energy, Inc., 5.75%, due 05/15/26     1,671,547  
    836,000     PG&E Corp., 5.00%, due 07/01/28     771,302  
    750,000     PG&E Corp., 5.25%, due 07/01/30     679,114  
    375,000     Prime Security Services Borrower LLC / Prime Finance, Inc., 144A, 5.75%, due 04/15/26     371,250  
    800,000     Spirit AeroSystems, Inc., 3.85%, due 06/15/26     715,012  
    171,875     Spirit Loyalty Cayman Ltd. / Spirit IP Cayman Ltd., 144A, 8.00%, due 09/20/25     173,800  
    378,125     Spirit Loyalty Cayman Ltd. / Spirit IP Cayman Ltd., 144A, 8.00%, due 09/20/25     383,264  
    203,548     Transocean Guardian Ltd., 144A, 5.88%, due 01/15/24     198,274  
    565,000     Western Midstream Operating LP, 3.35%, due 02/01/25     541,558  
    1,375,000     Western Midstream Operating LP, 3.95%, due 06/01/25     1,316,562  
     

 

 

 
  Total United States     31,309,737  
     

 

 

 
  Total Corporate Debt       35,486,912  
     

 

 

 
      U.S. Government — 39.6%  
    45,000,000     U.S. Treasury Note, 0.13%, due 12/31/22 (a)     44,857,612  
    3,480,000     U.S. Treasury Note, Variable Rate, USBM + 0.03%, 4.36%, due 07/31/23     3,482,410  
    54,000,000     U.S. Treasury Note, Variable Rate, USBM - 0.08%, 4.26%, due 04/30/24     53,905,237  
    6,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 07/31/24 (a)     5,992,351  
     

 

 

 
    Total U.S. Government     108,237,610  
     

 

 

 
  TOTAL DEBT OBLIGATIONS (COST $145,760,352)     143,724,522  
     

 

 

 
      SHORT-TERM INVESTMENTS — 57.1%  
      Repurchase Agreements — 22.3%  
    60,999,418     Nomura Securities International, Inc. Repurchase Ageement, dated 11/30/22, maturing on 12/01/22 with a maturity value of $61,005,857 and an effective yield of 3.80%, collateralized by a U.S. Treasury Note with maturity date 11/30/24 and a market value of $62,244,266.     60,999,418  
     

 

 

 
 


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
          U.S. Government — 2.9%      
    8,000,000     U.S. Treasury Bill, 0.01%, due 12/01/22 (b)     8,000,000  
     

 

 

 
      U.S. Government Agency — 3.6%  
    10,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.03%, 3.84%, due 12/02/22     9,999,999  
     

 

 

 
      Sovereign and Sovereign Agency Issuers — 27.3%  

JPY

    2,104,000,000     Japan Treasury Discount Bill, Zero Coupon, due 02/06/23     15,240,002  

JPY

    8,182,000,000     Japan Treasury Discount Bill, Zero Coupon, due 02/27/23     59,268,408  
     

 

 

 
    Total Sovereign and Sovereign Agency Issuers     74,508,410  
     

 

 

 
      Money Market Funds — 1.0%  
    2,626,002     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (c)     2,626,002  
     

 

 

 
  TOTAL SHORT-TERM INVESTMENTS
(COST $154,197,353)
    156,133,829  
     

 

 

 
  TOTAL INVESTMENTS — 109.7% (Cost $299,957,705)     299,858,351  
  Other Assets and Liabilities (net) — (9.7)%     (26,582,563
     

 

 

 
  TOTAL NET ASSETS — 100.0%     $273,275,788  
     

 

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation) ($)
 
02/06/2023   MSCI   JPY     2,104,000,000       USD       14,476,220       (893,789
02/27/2023   DB   JPY     8,182,000,000       USD       59,261,942       (682,443
           

 

 

 
  $ (1,576,232
           

 

 

 

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys        
41   U.S. Treasury Note 10 Yr. (CBT)     March 2023       4,653,500       31,018  
9   U.S. Treasury Note 2 Yr. (CBT)     March 2023       1,848,234       5,765  
108   U.S. Treasury Note 5 Yr. (CBT)     March 2023       11,725,594       69,219  
     

 

 

   

 

 

 
      $ 18,227,328     $ 106,002  
     

 

 

   

 

 

 
Sales        
4   U.S. Long Bond (CBT)     March 2023       508,000       (1,646
1   U.S. Ultra Bond (CBT)     March 2023       136,281       (262
     

 

 

   

 

 

 
      $ 644,281     $ (1,908
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

Swap Contracts

Centrally Cleared Credit Default Swaps

 

Reference Entity

  

Notional
Amount

     Annual
Premium
     Implied
Credit
Spread (1)
     Maximum
Potential
Amount of
Future
Payments by

the Fund
Under the
Contract (2)
     Expiration
Date
     Periodic
Payment
Frequency
     Premiums
Paid/
(Received) ($)
    Value ($)      Net Unrealized
Appreciation/
(Depreciation) ($)
 

Sell Protection^:

 

CDX.NA.HYS.39.V1

   USD     29,370,000        5.00%        4.53%        29,370,000 USD        12/20/2027        Quarterly      $ (1,284,938   $ 551,892      $ 1,836,830  
  

 

 

   

 

 

    

 

 

 

 

^

Buy Protection - Fund pays a premium and buys credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced index or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.

 

 

Sell Protection - Fund receives a premium and sells credit protection. If a credit event occurs the Fund will, depending on the terms of the particular swap contract, either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.


GMO High Yield Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

(1) 

As of November 30, 2022, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2) 

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

OTC Total Return Swaps

 

Fund Pays

 

Fund Receives

 

Counterparty

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

(Depreciation) ($)
 

SOFR

  Total Return on iShares iBoxx High Yield Corporate Bond ETF   BCLY     USD       2,236,000       12/20/2022       Quarterly       (39     (48,762     (48,723

SOFR

  Total Return on iShares iBoxx High Yield Corporate Bond ETF   BCLY     USD       33,800,000       12/20/2022       Quarterly       (35,187     1,778,220       1,813,407  

SOFR

  Total Return on iShares iBoxx High Yield Corporate Bond ETF   GS     USD       59,921,000       12/20/2022       Quarterly       (151     1,484,806       1,484,957  

SOFR

  Total Return on iShares iBoxx High Yield Corporate Bond ETF   BCLY     USD       30,320,000       03/20/2023       Quarterly       641       594,121       593,480  

SOFR

  Total Return on iShares iBoxx High Yield Corporate Bond ETF   MSCI     USD       73,200,000       03/20/2023       Quarterly       (2,739     1,705,153       1,707,892  
             

 

 

   

 

 

   

 

 

 
              $ (37,475   $ 5,513,538     $ 5,551,013  
             

 

 

   

 

 

   

 

 

 

As of November 30, 2022, 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 shown represents yield-to-maturity.

 

(c)

The rate disclosed is the 7 day net yield as of November 30, 2022.

The rates shown on variable rate notes are the current interest rates at November 30, 2022, 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

SOFR - Secured Overnight Financing Rate

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

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

DB - Deutsche Bank AG

GS - Goldman Sachs International

MSCI - Morgan Stanley & Co. International PLC

Currency Abbreviations:

JPY - Japan Yen

USD - United States Dollar

 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
    DEBT OBLIGATIONS — 53.9%  
          Australia — 0.2%      
          Corporate Debt  
    250,000     National Australia Bank Ltd., 2.50%, due 07/12/26            231,535  
     

 

 

 
          Canada — 0.2%      
          Corporate Debt  
    200,000     National Bank of Canada, Variable Rate, 0.55%, due 11/15/24     190,786  
     

 

 

 
          Germany — 0.5%      
          Corporate Debt  
    400,000     Deutsche Bank AG, Variable Rate, 3.96%, due 11/26/25     378,346  
    200,000     Deutsche Bank AG, Variable Rate, 3.55%, due 09/18/31     158,983  
     

 

 

 
    Total Germany     537,329  
     

 

 

 
          Japan — 1.1%      
          Corporate Debt  
    300,000     Mitsubishi UFJ Financial Group, Inc., Variable Rate, 4.08%, due 04/19/28     283,523  
    200,000     Mitsubishi UFJ Financial Group, Inc., Variable Rate, 4.32%, due 04/19/33     183,026  
    200,000     Mizuho Financial Group, Inc., 4.02%, due 03/05/28     186,080  
    250,000     Mizuho Financial Group, Inc., Variable Rate, 4.25%, due 09/11/29     230,557  
    250,000     Takeda Pharmaceutical Co. Ltd., 5.00%, due 11/26/28     250,069  
     

 

 

 
    Total Japan     1,133,255  
     

 

 

 
          Netherlands — 0.3%      
          Corporate Debt  
    350,000     ING Groep NV, Variable Rate, 2.73%, due 04/01/32     278,179  
     

 

 

 
          Spain — 0.2%      
          Corporate Debt  
    200,000     Banco Bilbao Vizcaya Argentaria SA, Variable Rate, 6.14%, due 09/14/28     199,797  
     

 

 

 
          United Kingdom — 3.9%      
          Corporate Debt  
    200,000     Barclays Plc, Variable Rate, 5.50%, due 08/09/28     193,664  
    200,000     Barclays Plc, Variable Rate, 4.97%, due 05/16/29     187,597  
    300,000     Barclays Plc, Variable Rate, 2.89%, due 11/24/32     229,136  
    300,000     BAT Capital Corp., 4.39%, due 08/15/37     236,310  
    250,000     British Telecommunications Plc, 5.13%, due 12/04/28     245,370  
         
Par Value†
    Description   Value ($)  
          United Kingdom — continued      
          Corporate Debt — continued  
    200,000     CNH Industrial NV, 4.50%, due 08/15/23     198,569  
    200,000     HSBC Holdings Plc, Variable Rate, 2.25%, due 11/22/27     172,390  
    200,000     HSBC Holdings Plc, Variable Rate, 4.58%, due 06/19/29     184,142  
    500,000     HSBC Holdings Plc, Variable Rate, 3.97%, due 05/22/30     437,092  
    250,000     Lloyds Banking Group Plc, Variable Rate, 3.75%, due 03/18/28     228,358  
    200,000     Lloyds Banking Group Plc, 4.55%, due 08/16/28     187,599  
    250,000     Mead Johnson Nutrition Co., 4.13%, due 11/15/25     246,439  
    250,000     Natwest Group Plc, Variable Rate, 3.07%, due 05/22/28     221,321  
    200,000     Natwest Group Plc, Variable Rate, 4.89%, due 05/18/29     188,296  
    200,000     NatWest Group Plc, Variable Rate, 4.52%, due 06/25/24     197,910  
    150,000     RELX Capital Inc, 4.00%, due 03/18/29     140,940  
    300,000     Reynolds American, Inc., 5.70%, due 08/15/35     276,956  
    250,000     Reynolds American, Inc., 6.15%, due 09/15/43     224,589  
     

 

 

 
    Total United Kingdom         3,996,678  
     

 

 

 
          United States — 47.5%      
          Asset-Backed Securities — 18.1%  
    3,380,000     Citigroup Commercial Mortgage Trust, 144A, 3.90%, due 05/10/36     3,328,894  
    6,400,000     Federal National Mortgage Association, TBA, 2.50%, due 12/16/35     5,912,972  
    1,600,000     Federal National Mortgage Association, TBA, 2.00%, due 12/13/52     1,317,813  
    2,300,000     Federal National Mortgage Association, TBA, 2.50%, due 12/13/52     1,967,398  
    3,400,000     Federal National Mortgage Association, TBA, 3.00%, due 12/13/52     3,008,830  
    3,500,000     GNMA II TBA, 3.00%, due 12/20/52     3,160,762  
     

 

 

 
          18,696,669  
     

 

 

 
          Corporate Debt — 18.2%      
    550,000     AbbVie, Inc., 4.50%, due 05/14/35     521,008  
    250,000     AES Corp. (The), 1.38%, due 01/15/26     222,088  
    250,000     Aircastle Ltd., 4.13%, due 05/01/24     241,226  
    200,000     Aircastle Ltd., 4.25%, due 06/15/26     186,439  
    250,000     Albemarle Corp., 4.65%, due 06/01/27     245,057  
    250,000     Albemarle Corp., 5.05%, due 06/01/32     240,263  
    250,000     Altria Group, Inc., 5.80%, due 02/14/39     231,770  
    150,000     Altria Group, Inc., 5.95%, due 02/14/49     133,226  
    350,000     Altria Group, Inc., 4.00%, due 02/04/61     232,714  
    150,000     Amcor Finance USA, Inc., 3.63%, due 04/28/26     142,114  
 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
          United States — continued      
          Corporate Debt — continued      
    200,000     American Financial Group, Inc., 4.50%, due 06/15/47           161,071  
    300,000     Amgen, Inc., 2.77%, due 09/01/53     186,106  
    250,000     Amgen, Inc., 4.40%, due 02/22/62     204,742  
    150,000     AutoZone, Inc., 4.00%, due 04/15/30     140,267  
    100,000     Baxalta, Inc., 5.25%, due 06/23/45     95,097  
    150,000     Biogen, Inc., 2.25%, due 05/01/30     123,744  
    250,000     Block Financial LLC, 3.88%, due 08/15/30     220,260  
    300,000     Broadcom, Inc., 144A, 3.42%, due 04/15/33     243,759  
    150,000     Broadcom, Inc., 144A, 4.93%, due 05/15/37     131,624  
    300,000     Cardinal Health, Inc., 4.37%, due 06/15/47     236,937  
    250,000     Carlisle Cos., Inc., 3.75%, due 12/01/27     234,381  
    300,000     Carlisle Cos., Inc., 2.75%, due 03/01/30     250,978  
    400,000     Carrier Global Corp., 2.72%, due 02/15/30     341,286  
    250,000     CF Industries, Inc., 5.15%, due 03/15/34     238,464  
    300,000     CF Industries, Inc., 5.38%, due 03/15/44     275,941  
    200,000     Charter Communications Operating LLC / Charter Communications Operating Capital, 5.38%, due 04/01/38     171,105  
    100,000     Charter Communications Operating LLC / Charter Communications Operating Capital, 6.83%, due 10/23/55     95,757  
    150,000     Cheniere Corpus Christi Holdings LLC, 7.00%, due 06/30/24     152,085  
    400,000     Cheniere Corpus Christi Holdings LLC, 5.13%, due 06/30/27     400,541  
    250,000     Cigna Corp., 3.88%, due 10/15/47     197,545  
    150,000     Cigna Corp., 4.90%, due 12/15/48     138,478  
    450,000     CNH Industrial Capital LLC, 1.95%, due 07/02/23     441,067  
    100,000     Constellation Energy Generation LLC, 5.60%, due 06/15/42     97,687  
    350,000     Corning, Inc., 5.45%, due 11/15/79     311,002  
    200,000     DCP Midstream Operating LP, 5.63%, due 07/15/27     199,192  
    500,000     Devon Energy Corp., 5.60%, due 07/15/41     483,135  
    200,000     Dick’s Sporting Goods, Inc., 4.10%, due 01/15/52     135,574  
    650,000     Elevance Health, Inc., 2.38%, due 01/15/25     619,391  
    100,000     Eli Lilly & Co., 3.38%, due 03/15/29     94,951  
    150,000     Eli Lilly & Co., 4.15%, due 03/15/59     133,497  
    150,000     Gilead Sciences, Inc., 4.00%, due 09/01/36     133,640  
    250,000     GLP Capital LP / GLP Financing II, Inc., 5.38%, due 04/15/26     242,347  
    150,000     GLP Capital LP / GLP Financing II, Inc., 5.75%, due 06/01/28     144,954  
    250,000     GLP Capital LP / GLP Financing II, Inc., 4.00%, due 01/15/31     212,457  
    250,000     GSK Consumer Healthcare Capital U.S. LLC, 3.38%, due 03/24/29     226,490  
    200,000     HF Sinclair Corp., 5.88%, due 04/01/26     201,262  
         
Par Value†
    Description   Value ($)  
          United States — continued      
          Corporate Debt — continued      
    200,000     Host Hotels & Resorts LP, 3.38%, due 12/15/29            169,161  
    450,000     Host Hotels & Resorts LP, 3.50%, due 09/15/30     375,605  
    150,000     International Business Machines Corp., 3.43%, due 02/09/52     108,786  
    200,000     Johnson & Johnson, 3.63%, due 03/03/37     180,178  
    168,000     Keurig Dr Pepper, Inc., 4.42%, due 05/25/25     167,987  
    150,000     Kirby Corp., 4.20%, due 03/01/28     136,261  
    150,000     L3Harris Technologies, Inc., 4.40%, due 06/15/28     144,985  
    350,000     Las Vegas Sands Corp., 3.50%, due 08/18/26     319,813  
    250,000     Lowe’s Cos., Inc., 5.80%, due 09/15/62     247,726  
    300,000     Marathon Oil Corp., 5.20%, due 06/01/45     264,955  
    400,000     Marathon Petroleum Corp., 4.75%, due 09/15/44     340,757  
    200,000     McKesson Corp., 3.80%, due 03/15/24     196,948  
    150,000     Motorola Solutions, Inc., 2.75%, due 05/24/31     121,040  
    150,000     Motorola Solutions, Inc., 5.60%, due 06/01/32     149,397  
    300,000     Mylan, Inc., 5.20%, due 04/15/48     232,219  
    150,000     Northrop Grumman Corp., 5.15%, due 05/01/40     148,263  
    150,000     Northrop Grumman Corp., 4.75%, due 06/01/43     141,000  
    200,000     Omega Healthcare Investors, Inc., 3.38%, due 02/01/31     156,323  
    150,000     Omega Healthcare Investors, Inc., 3.25%, due 04/15/33     109,986  
    250,000     O’Reilly Automotive, Inc., 4.20%, due 04/01/30     236,896  
    200,000     O’Reilly Automotive, Inc., 4.70%, due 06/15/32     195,315  
    250,000     Pacific Gas & Electric Co., 3.75%, due 07/01/28     220,449  
    250,000     Pacific Gas & Electric Co., 5.90%, due 06/15/32     243,980  
    150,000     Pacific Gas & Electric Co., 4.75%, due 02/15/44     117,316  
    150,000     Reinsurance Group of America, Inc., 3.90%, due 05/15/29     137,539  
    250,000     Reinsurance Group of America, Inc., 3.15%, due 06/15/30     214,049  
    400,000     Sabra Health Care LP, 5.13%, due 08/15/26     377,459  
    150,000     Shire Acquisitions Investments Ireland DAC, 3.20%, due 09/23/26     141,333  
    150,000     T-Mobile USA, Inc., 2.05%, due 02/15/28     129,508  
    250,000     T-Mobile USA, Inc., 5.80%, due 09/15/62     249,282  
    350,000     Union Pacific Corp., 4.10%, due 09/15/67     284,128  
    350,000     Union Pacific Corp., 3.80%, due 04/06/71     264,303  
 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
          United States — continued      
          Corporate Debt — continued      
    150,000     UnitedHealth Group, Inc., 4.75%, due 05/15/52     141,937  
    150,000     UnitedHealth Group, Inc., 3.88%, due 08/15/59     119,510  
    200,000     UnitedHealth Group, Inc., 4.95%, due 05/15/62     191,830  
    300,000     Utah Acquisition Sub, Inc., 5.25%, due 06/15/46     231,418  
    150,000     VeriSign, Inc., 2.70%, due 06/15/31     122,944  
    100,000     VICI Properties LP, 4.38%, due 05/15/25     96,241  
    200,000     VICI Properties LP, 4.75%, due 02/15/28     188,532  
    150,000     VICI Properties LP, 4.95%, due 02/15/30     141,803  
    250,000     Warnermedia Holdings, Inc., 144A, 5.39%, due 03/15/62     193,447  
    100,000     Williams Cos, Inc. (The), 5.40%, due 03/04/44     92,470  
    250,000     Williams Cos, Inc. (The), 5.75%, due 06/24/44     243,448  
    200,000     Williams Cos, Inc. (The), 5.10%, due 09/15/45     178,883  
     

 

 

 
          18,778,129  
     

 

 

 
          U.S. Government — 11.2%      
    11,500,000     U.S. Treasury Bonds, 1.13%, due 08/15/40 (a)     7,303,848  
    3,900,000     U.S. Treasury Note, Variable Rate, USBM - 0.08%, 4.26%, due 04/30/24 (a)     3,893,156  
    450,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 07/31/24     449,426  
        11,646,430  
     

 

 

 
    Total United States     49,121,228  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $58,654,693)
    55,688,787  
     

 

 

 
          MUTUAL FUNDS — 27.6%  
          United States — 27.6%  
          Affiliated Issuers  
    247,731     GMO Emerging Country Debt Fund, Class VI     4,719,275  
    974,867     GMO Opportunistic Income Fund, Class VI     23,767,266  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $32,367,720)
    28,486,541  
     

 

 

 
     Shares /
Par Value†
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 31.6%

 

          Repurchase Agreements — 11.6%  
    11,999,886     Nomura Securities International, Inc. Repurchase Agreement, dated 11/30/22, maturing on 12/01/22 with a maturity value of $12,001,152 and an effective yield of 3.80%, collateralized by a U.S. Treasury Note with maturity date 11/30/24 and a market value of $12,244,774.     11,999,886  
     

 

 

 
          Money Market Funds — 0.4%      
    408,212     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (b)     408,212  
     

 

 

 
          Sovereign and Sovereign Agency Issuers — 19.6%  

JPY

    1,900,000,000     Japan Treasury Discount Bill, Zero Coupon, due 12/20/22     13,760,021  

JPY

    902,200,000     Japan Treasury Discount Bill, Zero Coupon, due 02/06/23     6,534,947  
     

 

 

 
    Total Sovereign and Sovereign Agency Issuers     20,294,968  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $32,247,132)
    32,703,066  
     

 

 

 
    TOTAL INVESTMENTS — 113.1%
(Cost $123,269,545)
    116,878,394  
    Other Assets and Liabilities (net) — (13.1%)     (13,528,119
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $103,350,275  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)

($)
 
02/16/2023   JPM   CHF     2,583,976       USD       2,758,196       1,816  
01/18/2023   JPM   CZK     19,042,868       USD       813,589       1,435  
01/31/2023   SSB   EUR     3,230,000       USD       3,384,814       7,627  
12/20/2022   DB   JPY     1,900,000,000       USD       13,880,922       89,963  
02/08/2023   MSCI   SEK     13,200,000       USD       1,269,762       6,922  
02/09/2023   JPM   USD     1,156,831       AUD       1,720,000       14,022  
12/02/2022   MSCI   USD     1,598,976       BRL       8,577,334       53,897  
12/02/2022   GS   USD     207,704       BRL       1,100,000       4,269  
02/02/2023   MSCI   USD     754,635       BRL       4,113,667       28,704  
12/02/2022   CITI   USD     141,667       BRL       750,000       2,859  
02/02/2023   MSCI   USD     3,101,199       CAD       4,221,182       39,836  
02/02/2023   BCLY   USD     1,119,953       CAD       1,510,000       3,657  
01/12/2023   MSCI   USD     244,234       CLP       230,000,000       12,361  
02/21/2023   MSCI   USD     425,520       GBP       360,000       9,439  
02/16/2023   MSCI   USD     147,442       HUF       59,769,900       1,407  
 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)

($)
 
02/16/2023   CITI   USD     98,439       HUF       40,000,000       1,176  
02/03/2023   JPM   USD     770,321       IDR       12,094,041,000       1,571  
01/17/2023   MSCI   USD     3,198,253       JPY       464,842,084       188,582  
01/24/2023   MSCI   USD     950,821       MXN       19,419,101       46,414  
01/18/2023   MSCI   USD     3,438,083       NOK       36,085,429       232,437  
01/12/2023   MSCI   USD     308,828       PEN       1,240,000       13,333  
12/02/2022   CITI   USD     148,509       PHP       8,500,000       1,774  
12/02/2022   JPM   USD     78,412       PHP       4,500,000       1,149  
12/02/2022   BCLY   USD     215,729       PHP       12,201,640       0  
02/21/2023   BCLY   USD     64,532       PLN       300,000       1,446  
02/08/2023   MSCI   USD     1,219,342       SEK       13,302,650       53,319  
02/08/2023   BCLY   USD     414,535       SEK       4,400,000       6,412  
02/21/2023   GS   USD     58,292       SGD       80,000       547  
02/21/2023   MSCI   USD     59,477       THB       2,100,000       576  
02/06/2023   CITI   USD     69,101       TWD       2,100,000       318  
12/02/2022   CITI   BRL     750,000       USD       137,969       (6,557
12/02/2022   GS   BRL     1,100,000       USD       207,006       (4,966
12/02/2022   MSCI   BRL     8,577,334       USD       1,607,194       (45,678
02/16/2023   JPM   CHF     710,000       USD       753,184       (4,188
01/12/2023   MSCI   CLP     189,728,500       USD       196,173       (15,493
01/12/2023   MSCI   COP     680,000,000       USD       135,756       (4,128
02/21/2023   BCLY   GBP     360,000       USD       430,740       (4,218
02/03/2023   MSCI   IDR     1,000,000,000       USD       63,411       (413

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)

($)
 
02/28/2023   JPM   ILS     1,036,203       USD       302,674       (2,716
02/23/2023   MSCI   INR     59,579,444       USD       723,895       (4,861
01/17/2023   BOA   JPY     38,000,000       USD       260,844       (16,024
02/06/2023   MSCI   JPY     902,200,000       USD       6,207,436       (383,259
02/03/2023   JPM   KRW     834,221,675       USD       585,365       (54,982
01/24/2023   GS   MXN     3,200,000       USD       158,618       (5,713
01/18/2023   BOA   NOK     2,800,000       USD       271,945       (12,864
02/28/2023   MSCI   NZD     2,740,000       USD       1,704,061       (24,798
01/12/2023   MSCI   PEN     480,000       USD       119,225       (5,482
12/02/2022   JPM   PHP     25,201,640       USD       434,174       (11,399
02/01/2023   BCLY   PHP     12,201,640       USD       215,425       (604
02/21/2023   MSCI   PLN     971,873       USD       209,614       (4,128
02/27/2023   BCLY   RON     3,131,041       USD       651,105       (6,328
02/08/2023   BCLY   SEK     5,700,000       USD       542,431       (2,887
02/21/2023   MSCI   SGD     570,686       USD       414,318       (5,420
02/21/2023   BCLY   THB     22,822,300       USD       643,970       (8,678
02/06/2023   BCLY   TWD     25,545,600       USD       798,150       (46,300
02/02/2023   JPM   USD     857,265       CAD       1,150,000       (1,536
01/12/2023   MSCI   USD     993,844       COP       4,653,658,000       (36,534
02/16/2023   BOA   USD     62,816       HUF       25,000,000       (557
           

 

 

 
            $ 106,557  
           

 

 

 
 

 

Futures Contracts

 

Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
Buys  
20   U.S. Long Bond (CBT)     March 2023       2,540,000       10,911  
50   U.S. Treasury Note 10 Yr. (CBT)     March 2023       5,675,000       36,154  
22   U.S. Treasury Note 2 Yr. (CBT)     March 2023       4,517,906       14,091  
127   U.S. Treasury Note 5 Yr. (CBT)     March 2023       13,788,430       79,977  
Number of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation) ($)
 
26   U.S. Treasury Ultra 10 Yr. (CBT)     March 2023       3,111,063       17,790  
     

 

 

   

 

 

 
  $ 29,632,399     $ 158,923  
     

 

 

   

 

 

 

 

+

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) ($)
 

3.86%

   3 Month AUD BBSW    AUD      9,806,000        12/21/2024      Quarterly      (7,495      (25,738      (18,243

3.91%

   3 Month AUD BBSW    AUD      5,000,000        12/21/2024      Quarterly             (16,334      (16,334

4.08%

   3 Month CAD CDOR    CAD      18,144,000        12/21/2024      Semi-Annually      (370      72,718        73,088  

4.25%

   3 Month CAD CDOR    CAD      2,500,000        12/21/2024      Semi-Annually             4,166        4,166  

3 Month CAD CDOR

   4.15%    CAD      8,500,000        12/21/2024      Semi-Annually             (26,016      (26,016

CHF -  SARON - OIS - COMPOUND

   1.39%    CHF      4,000,000        12/21/2024      Semi-Annually             13,713        13,713  

CHF -  SARON - OIS - COMPOUND

   1.74%    CHF      8,500,000        12/21/2024      Semi-Annually             91,709        91,709  

1.81%

   CHF - SARON - OIS - COMPOUND    CHF      19,666,000        12/21/2024      Semi-Annually      (1,580      (241,883      (240,303

1.40%

   CHF - SARON - OIS - COMPOUND    CHF      2,500,000        12/21/2024      Semi-Annually             (8,835      (8,835


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

EUR - EuroSTR -  COMPOUND

   2.59%   EUR     7,000,000       12/21/2024     Annually           (7,705     (7,705

EUR - EuroSTR -  COMPOUND

   2.64%   EUR     2,500,000       12/21/2024     Annually           (514     (514

2.14%

   EUR - EuroSTR - COMPOUND   EUR     4,394,000       12/21/2024     Annually     1,068       45,818       44,750  

2.94%

   EUR - EuroSTR - COMPOUND   EUR     5,000,000       12/21/2024     Annually           (29,332     (29,332

GBP - SONIA -  COMPOUND

   3.96%   GBP     15,140,000       12/21/2024     Annually     (38,164     (144,363     (106,199

GBP - SONIA - COMPOUND

   4.58%   GBP     1,500,000       12/21/2024     Annually           6,851       6,851  

4.26%

   GBP - SONIA - COMPOUND   GBP     5,000,000       12/21/2024     Annually           13,745       13,745  

5.22%

   GBP - SONIA - COMPOUND   GBP     3,500,000       12/21/2024     Annually           (66,960     (66,960

5.36%

   GBP - SONIA - COMPOUND   GBP     3,000,000       12/21/2024     Annually           (66,907     (66,907

3 Month SEK STIBOR

   3.29%   SEK     132,574,000       12/21/2024     Quarterly     27,280       22,036       (5,244

3 Month SEK STIBOR

   3.45%   SEK     30,000,000       12/21/2024     Quarterly           13,483       13,483  

USD - SOFR -COMPOUND

   4.59%   USD     3,500,000       12/21/2024     Semi-Annually           13,340       13,340  

3.58%

   USD - SOFR - COMPOUND   USD     2,957,000       12/21/2024     Semi-Annually     994       45,311       44,317  

4.47%

   USD - SOFR - COMPOUND   USD     5,500,000       12/21/2024     Semi-Annually           (9,162     (9,162

6 Month AUD BBSW

   4.14%   AUD     1,100,000       12/21/2032     Semi-Annually           (1,046     (1,046

6 Month AUD BBSW

   4.19%   AUD     1,200,000       12/21/2032     Semi-Annually           2,156       2,156  

6 Month AUD BBSW

   4.21%   AUD     1,500,000       12/21/2032     Semi-Annually           4,568       4,568  

6 Month AUD BBSW

   4.25%   AUD     4,774,000       12/21/2032     Semi-Annually     11,178       24,529       13,351  

6 Month AUD BBSW

   4.25%   AUD     2,258,000       12/21/2032     Semi-Annually     5,287       11,602       6,315  

6 Month AUD BBSW

   4.29%   AUD     1,700,000       12/21/2032     Semi-Annually           13,009       13,009  

6 Month AUD BBSW

   4.57%   AUD     3,000,000       12/21/2032     Semi-Annually           69,497       69,497  

6 Month AUD BBSW

   4.73%   AUD     3,400,000       12/21/2032     Semi-Annually           108,864       108,864  

4.48%

   6 Month AUD BBSW   AUD     2,700,000       12/21/2032     Semi-Annually           (48,311     (48,311

3.71%

   3 Month CAD CDOR   CAD     7,079,000       12/21/2032     Semi-Annually     (3,214     (105,070     (101,856

3.66%

   3 Month CAD CDOR   CAD     800,000       12/21/2032     Semi-Annually           (9,401     (9,401

3.55%

   3 Month CAD CDOR   CAD     2,700,000       12/21/2032     Semi-Annually           (13,292     (13,292

3.57%

   3 Month CAD CDOR   CAD     1,300,000       12/21/2032     Semi-Annually           (7,733     (7,733

3.65%

   3 Month CAD CDOR   CAD     2,600,000       12/21/2032     Semi-Annually           (29,242     (29,242

3.68%

   3 Month CAD CDOR   CAD     1,900,000       12/21/2032     Semi-Annually           (25,324     (25,324

3 Month CAD CDOR

   3.41%   CAD     1,500,000       12/21/2032     Semi-Annually           (5,602     (5,602

3 Month CAD CDOR

   3.57%   CAD     1,400,000       12/21/2032     Semi-Annually           8,371       8,371  

3 Month CAD CDOR

   3.59%   CAD     600,000       12/21/2032     Semi-Annually           4,458       4,458  

3 Month CAD CDOR

   3.63%   CAD     1,400,000       12/21/2032     Semi-Annually           13,891       13,891  

3 Month CAD CDOR

   3.71%   CAD     3,966,000       12/21/2032     Semi-Annually     3,236       58,868       55,632  

3 Month CAD CDOR

   3.79%   CAD     2,600,000       12/21/2032     Semi-Annually           51,547       51,547  

3 Month CAD CDOR

   3.84%   CAD     2,800,000       12/21/2032     Semi-Annually           65,580       65,580  

3 Month CAD CDOR

   3.97%   CAD     1,500,000       12/21/2032     Semi-Annually           47,433       47,433  

3 Month CAD CDOR

   4.04%   CAD     2,100,000       12/21/2032     Semi-Annually           75,215       75,215  

CHF -  SARON - OIS - COMPOUND

   1.85%   CHF     500,000       12/21/2032     Semi-Annually     (2,335     9,904       12,239  

CHF - SARON -OIS - COMPOUND

   1.86%   CHF     7,421,000       12/21/2032     Semi-Annually           156,146       156,146  

CHF - SARON -OIS - COMPOUND

   1.93%   CHF     1,400,000       12/21/2032     Semi-Annually           38,851       38,851  

CHF - SARON -OIS - COMPOUND

   2.05%   CHF     4,286,000       12/21/2032     Semi-Annually     2,620       169,261       166,641  

CHF - SARON -OIS - COMPOUND

   2.18%   CHF     700,000       12/21/2032     Semi-Annually     2,987       36,277       33,290  

CHF - SARON -OIS - COMPOUND

   2.20%   CHF     1,700,000       12/21/2032     Semi-Annually     (1,469     92,296       93,765  

CHF - SARON -OIS - COMPOUND

   2.27%   CHF     1,100,000       12/21/2032     Semi-Annually           67,589       67,589  

2.01%

   CHF - SARON - OIS - COMPOUND   CHF     1,400,000       12/21/2032     Semi-Annually           (49,072     (49,072

2.19%

   CHF - SARON - OIS - COMPOUND   CHF     1,800,000       12/21/2032     Semi-Annually     3,080       (96,073     (99,153

2.24%

   CHF - SARON - OIS - COMPOUND   CHF     1,100,000       12/21/2032     Semi-Annually           (63,791     (63,791

2.18%

   CHF - SARON - OIS - COMPOUND   CHF     900,000       12/21/2032     Semi-Annually     (4,402     (47,255     (42,853

2.11%

   CHF - SARON - OIS - COMPOUND   CHF     800,000       12/21/2032     Semi-Annually           (35,935     (35,935


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

1.98%

   CHF - SARON - OIS - COMPOUND   CHF     1,400,000       12/21/2032     Semi-Annually           (45,274     (45,274

1.85%

   CHF - SARON - OIS - COMPOUND   CHF     1,300,000       12/21/2032     Semi-Annually     7,927       (25,558     (33,485

EUR - EuroSTR -  COMPOUND

   2.21%   EUR     894,000       12/21/2032     Annually     542       (16,767     (17,309

EUR - EuroSTR - COMPOUND

   2.48%   EUR     1,100,000       12/21/2032     Annually           7,119       7,119  

EUR - EuroSTR - COMPOUND

   2.89%   EUR     800,000       12/21/2032     Annually           35,134       35,134  

EUR - EuroSTR - COMPOUND

   2.94%   EUR     6,382,000       12/21/2032     Annually     2,254       308,643       306,389  

EUR - EuroSTR - COMPOUND

   3.12%   EUR     1,100,000       12/21/2032     Annually           71,680       71,680  

2.82%

   EUR - EuroSTR - COMPOUND   EUR     1,050,000       12/21/2032     Annually           (39,358     (39,358

2.80%

   EUR - EuroSTR - COMPOUND   EUR     510,000       12/21/2032     Annually           (18,055     (18,055

2.80%

   EUR - EuroSTR - COMPOUND   EUR     1,200,000       12/21/2032     Annually           (42,759     (42,759

2.41%

   EUR - EuroSTR - COMPOUND   EUR     1,600,000       12/21/2032     Annually           (283     (283

2.75%

   EUR - EuroSTR - COMPOUND   EUR     540,000       12/21/2032     Annually           (16,867     (16,867

2.69%

   EUR - EuroSTR - COMPOUND   EUR     1,700,000       12/21/2032     Annually           (43,972     (43,972

2.70%

   EUR - EuroSTR - COMPOUND   EUR     500,000       12/21/2032     Annually           (13,164     (13,164

2.55%

   EUR - EuroSTR - COMPOUND   EUR     2,200,000       12/21/2032     Annually           (28,087     (28,087

2.63%

   EUR - EuroSTR - COMPOUND   EUR     1,200,000       12/21/2032     Annually           (23,763     (23,763

GBP - SONIA - COMPOUND

   3.30%   GBP     900,000       12/21/2032     Annually           (6,332     (6,332

GBP - SONIA - COMPOUND

   3.52%   GBP     900,000       12/21/2032     Annually           12,599       12,599  

GBP - SONIA - COMPOUND

   4.12%   GBP     800,000       12/21/2032     Annually           59,178       59,178  

GBP - SONIA - COMPOUND

   4.33%   GBP     1,300,000       12/21/2032     Annually           123,832       123,832  

GBP - SONIA - COMPOUND

   4.65%   GBP     700,000       12/21/2032     Annually           88,749       88,749  

3.19%

   GBP - SONIA - COMPOUND   GBP     3,280,000       12/21/2032     Annually     21,931       60,104       38,173  

3.96%

   GBP - SONIA - COMPOUND   GBP     1,050,000       12/21/2032     Annually           (61,118     (61,118

3.93%

   GBP - SONIA - COMPOUND   GBP     510,000       12/21/2032     Annually           (28,393     (28,393

3.90%

   GBP - SONIA - COMPOUND   GBP     540,000       12/21/2032     Annually           (28,022     (28,022

3.79%

   GBP - SONIA - COMPOUND   GBP     1,200,000       12/21/2032     Annually           (49,680     (49,680

3.76%

   GBP - SONIA - COMPOUND   GBP     400,000       12/21/2032     Annually           (15,247     (15,247

4.28%

   3 Month NZD Bank Bill Rate   NZD     5,150,000       12/21/2032     Quarterly     (34,196     29,155       63,351  

4.82%

   3 Month NZD Bank Bill Rate   NZD     2,300,000       12/21/2032     Quarterly           (49,297     (49,297

4.75%

   3 Month NZD Bank Bill Rate   NZD     1,700,000       12/21/2032     Quarterly           (30,186     (30,186

3 Month NZD Bank Bill Rate

   4.21%   NZD     2,700,000       12/21/2032     Quarterly           (26,008     (26,008

3 Month NZD Bank Bill Rate

   4.45%   NZD     2,800,000       12/21/2032     Quarterly           7,823       7,823  

3 Month NZD Bank Bill Rate

   4.52%   NZD     2,400,000       12/21/2032     Quarterly           15,348       15,348  

3 Month NZD Bank Bill Rate

   4.76%   NZD     2,060,000       12/21/2032     Quarterly           38,145       38,145  

3 Month NZD Bank Bill Rate

   4.86%   NZD     1,940,000       12/21/2032     Quarterly           45,763       45,763  

3 Month SEK STIBOR

   2.69%   SEK     14,000,000       12/21/2032     Quarterly           (3,485     (3,485

3.28%

   3 Month SEK STIBOR   SEK     13,000,000       12/21/2032     Quarterly           (60,122     (60,122

3.17%

   3 Month SEK STIBOR   SEK     18,000,000       12/21/2032     Quarterly           (67,011     (67,011

3.16%

   3 Month SEK STIBOR   SEK     18,000,000       12/21/2032     Quarterly           (65,522     (65,522

2.91%

   3 Month SEK STIBOR   SEK     30,000,000       12/21/2032     Quarterly           (46,523     (46,523

2.87%

   3 Month SEK STIBOR   SEK     28,294,000       12/21/2032     Quarterly     (3,811     (35,098     (31,287

2.98%

   3 Month SEK STIBOR   SEK     13,000,000       12/21/2032     Quarterly           (28,228     (28,228


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

3.08%

   3 Month SEK STIBOR   SEK     12,000,000       12/21/2032     Quarterly           (35,986     (35,986

3.10%

   3 Month SEK STIBOR   SEK     20,000,000       12/21/2032     Quarterly           (63,286     (63,286

3 Month SEK STIBOR

   3.19%   SEK     21,000,000       12/21/2032     Quarterly           81,655       81,655  

USD - SOFR - COMPOUND

   3.08%   USD     2,900,000       12/21/2032     Semi-Annually           (69,426     (69,426

USD - SOFR - COMPOUND

   3.13%   USD     655,000       12/21/2032     Semi-Annually     (880     (13,318     (12,438

USD - SOFR - COMPOUND

   3.22%   USD     1,200,000       12/21/2032     Semi-Annually           (14,737     (14,737

USD - SOFR - COMPOUND

   3.48%   USD     900,000       12/21/2032     Semi-Annually           8,083       8,083  

USD - SOFR - COMPOUND

   3.68%   USD     2,800,000       12/21/2032     Semi-Annually           72,236       72,236  

USD - SOFR - COMPOUND

   3.69%   USD     1,200,000       12/21/2032     Semi-Annually           32,821       32,821  

USD - SOFR - COMPOUND

   3.81%   USD     2,700,000       12/21/2032     Semi-Annually           98,871       98,871  

3.13%

   USD - SOFR - COMPOUND   USD     6,876,000       12/21/2032     Semi-Annually     3,662       136,409       132,747  

3.79%

   USD - SOFR - COMPOUND   USD     900,000       12/21/2032     Semi-Annually           (31,560     (31,560

3.70%

   USD - SOFR - COMPOUND   USD     1,200,000       12/21/2032     Semi-Annually           (33,273     (33,273

3.72%

   USD - SOFR - COMPOUND   USD     1,000,000       12/21/2032     Semi-Annually           (29,867     (29,867

3.91%

   USD - SOFR - COMPOUND   USD     900,000       12/21/2032     Semi-Annually           (41,223     (41,223

3.44%

   USD - SOFR - COMPOUND   USD     1,200,000       12/21/2032     Semi-Annually           (7,355     (7,355
            

 

 

   

 

 

   

 

 

 
  $ (3,870   $ 371,043     $ 374,913  
            

 

 

   

 

 

   

 

 

 

As of November 30, 2022, 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, 2022.

The rates shown on variable rate notes are the current interest rates at November 30, 2022, 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.

CDOR - Canadian Dollar Offering Rate

EuroSTR - Euro Short-Term Rate

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

OIS - Overnight Indexed Swaps

SARON - Swiss Average Rate Overnight

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

SOFR - Secured Overnight Financing Rate

SONIA - Sterling Overnight Interbank Average Rate

TBA - To Be Announced - Delayed Delivery Security

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

 


GMO Multi-Sector Fixed Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

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 - Brazil Real

CAD - Canada Dollar

CHF - Switzerland Franc

CLP - Chile Peso

COP - Colombia Peso

CZK - Czech Republic Koruna

EUR - Euro

GBP - United Kingdom Pound

HUF - Hungary Forint

IDR - Indonesia Rupiah

ILS - Israel Shekel

INR - Indian Rupee

JPY - Japan Yen

KRW - Korean Won

MXN - Mexico Peso

NOK - Norway Krone

NZD - New Zealand Dollar

PEN - Peru Nuevo Sol

PHP - Philippines Peso

PLN - Poland Zloty

RON - Romania New Leu

SEK - Sweden Krona

SGD - Singapore Dollar

THB - Thailand Baht

TWD - Taiwan New Dollar

USD - United States Dollar

 
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Par Value†
    Description   Value ($)  
    DEBT OBLIGATIONS — 90.6%

 

          Asset-Backed Securities — 84.1%  
          CMBS Collateralized Debt Obligations — 0.2%  
    8,586,000     ARCap Resecuritization Trust, Series 05-1A, Class B, 144A, 5.55%, due 12/21/42     1,588,410  
    559,375     GS Mortgage Securities Corp., Series 06-CC1, Class A, 144A, Variable Rate, 5.33%, due 03/21/46     433,532  
     

 

 

 
    Total CMBS Collateralized Debt Obligations         2,021,942  
     

 

 

 
          Collateralized Loan Obligations — 19.5%  
    4,000,000     AMMC CLO 24 Ltd., Series 21-24A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.19%, 5.43%, due 01/20/35     3,855,936  
    10,000,000     Ballyrock CLO 15 Ltd., Series 21-1A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 1.06%, 5.14%, due 04/15/34     9,654,300  
    6,093,000     Crestline Denali CLO XVI Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.12%, 5.36%, due 01/20/30     5,987,658  
    4,075,000     Crown City CLO III, Series 21-1A, Class A1A, 144A, Variable Rate, 3 mo. LIBOR + 1.17%, 5.41%, due 07/20/34     3,929,523  
    4,550,000     Fort Washington CLO Ltd., Series 21-2A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.22%, 5.46%, due 10/20/34     4,404,223  
    6,825,193     Gallatin CLO IX Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.05%, 5.33%, due 01/21/28     6,764,933  
    694,737     Halcyon Loan Advisors Funding Ltd., Series 14-2A, Class C, 144A, Variable Rate, 3 mo. LIBOR + 3.50%, 7.87%, due 04/28/25     675,065  
    5,718,682     JFIN CLO Ltd., Series 15-2A, Class DR, 144A, Variable Rate, 3 mo. LIBOR + 3.20%, 7.28%, due 10/17/26     5,381,245  
    4,320,000     JFIN CLO Ltd., Series 12-1A, Class BR, 144A, Variable Rate, 3 mo. LIBOR + 2.35%, 5.06%, due 07/20/28     4,176,779  
    3,000,000     JFIN CLO Ltd., Series 16-1A, Class DR, 144A, Variable Rate, 3 mo. LIBOR + 3.40%, 7.76%, due 10/27/28     2,787,951  
    1,308,870     JMP Credit Advisors CLO IV Ltd., Series 17-1A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.28%, 5.36%, due 07/17/29     1,292,818  
    6,161,000     Man GLG US CLO, Series 18-1A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.14%, 5.38%, due 04/22/30     6,016,740  
    4,000,000     Mountain View CLO Ltd., 144A, Variable Rate, 3 mo. LIBOR + 1.67%, 5.59%, due 10/12/30     3,801,548  
    10,000,000     Neuberger Berman CLO XVI-S Ltd., Series 17-16SA, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.04%, 5.12%, due 04/15/34     9,676,860  
    6,086,000     Northwoods Capital XVII Ltd., Series 18-17A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.06%, 5.38%, due 04/22/31     5,928,604  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

          Collateralized Loan Obligations — continued  
    5,000,000     Oak Hill Credit Partners X-R Ltd., Series 14-10RA, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.04%, 5.28%, due 04/20/34         4,853,745  
    7,000,000     OFSI BSL VIII Ltd., Series 17-1A, Class BR, 144A, Variable Rate, 3 mo. LIBOR + 1.50%, 5.58%, due 08/16/29     6,761,741  
    1,083,456     OZLM VII Ltd., Series 14-7A, Class SUB, 144A, Variable Rate, 0.00, due 07/17/26     45,215  
    8,516,793     OZLM VII Ltd., Series 14-7RA, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.01%, 5.09%, due 07/17/29     8,393,691  
    1,941,580     Saranac CLO III Ltd., Series 14-3A, Class ALR, 144A, Variable Rate, 3 mo. LIBOR + 1.60%, 5.20%, due 06/22/30     1,916,485  
    1,262,000     Signal Peak CLO 2 LLC, Series 15-1A, Class BR2, 144A, Variable Rate, 3 mo. LIBOR + 1.50%, 5.74%, due 04/20/29     1,236,476  
    3,417,000     SOUND POINT CLO XIX Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.10%, 5.08%, due 04/15/31     3,333,000  
    1,439,500     Sounds Point CLO IV-R Ltd., Series 13-3RA, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.15%, 5.34%, due 04/18/31     1,405,541  
    8,688,000     Steele Creek CLO Ltd., 144A, Variable Rate, 3 mo. LIBOR + 1.00%, 4.41%, due 06/15/31     8,479,957  
    2,000,000     Telos CLO Ltd., Series 13-3A, Class CR, 144A, Variable Rate, 3 mo. LIBOR + 2.60%, 6.68%, due 07/17/26     1,974,570  
    7,737,500     Telos CLO Ltd., Series 14-5A, Class BR, 144A, Variable Rate, 3 mo. LIBOR + 1.48%, 5.56%, due 04/17/28     7,661,007  
    4,335,500     Telos CLO Ltd., Series 14-5A, Class CR, 144A, Variable Rate, 3 mo. LIBOR + 2.15%, 6.23%, due 04/17/28     4,167,369  
    7,000,000     THL Credit Wind River CLO Ltd., Series 17-1A, Class ARR, 144A, Variable Rate, 3 mo. LIBOR + 1.06%, 5.25%, due 04/18/36     6,723,528  
    4,993,200     Venture 32 CLO Ltd., Series 18-32A, Class A1, 144A, Variable Rate, 3 mo. LIBOR + 1.10%, 5.29%, due 07/18/31     4,910,847  
    5,431,200     Venture 34 CLO Ltd., Series 18-34A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.23%, 5.31%, due 10/15/31     5,283,618  
    3,198,416     Venture XVIII CLO Ltd., Series 14-18A, Class AR, 144A, Variable Rate, 3 mo. LIBOR + 1.22%, 5.30%, due 10/15/29     3,149,755  
    9,000,000     Venture XXIV CLO Ltd., Series 16-24A, Class BRR, 144A, Variable Rate, 3 mo. LIBOR + 1.50%, 5.74%, due 10/20/28     8,672,031  
    10,972,427     Wellfleet CLO Ltd., Series 17-2A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.06%, 5.30%, due 10/20/29     10,818,220  
    1,360,000     Whitebox CLO II Ltd., Series 20-2A, Class A1R, 144A, Variable Rate, 3 mo. LIBOR + 1.22%, 5.54%, due 10/24/34     1,309,544  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

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

 

          Collateralized Loan Obligations — continued  
    1,703,898     WhiteHorse VIII Ltd., Series 14-1A, Class DR, 144A, Variable Rate, 3 mo. LIBOR + 3.45%, 7.89%, due 05/01/26     1,680,347  
    4,042,250     WhiteHorse X Ltd., Series 15-10A, Class DR, 144A, Variable Rate, 3 mo. LIBOR + 3.00%, 7.08%, due 04/17/27     3,927,620  
    4,453,900     Whitehorse XII Ltd., Series 18-12A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.25%, 5.33%, due 10/15/31     4,348,735  
    4,535,446     Zais CLO 7 Ltd., Series 17-2A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 1.29%, 5.37%, due 04/15/30     4,455,491  
    842,990     Zais CLO 8 Ltd., Series 18-1A, Class A, 144A, Variable Rate, 3 mo. LIBOR + 0.95%, 5.03%, due 04/15/29     831,443  
    3,474,000     Zais CLO 8 Ltd., Series 18-1A, Class B, 144A, Variable Rate, 3 mo. LIBOR + 1.45%, 5.53%, due 04/15/29     3,364,705  
     

 

 

 
    Total Collateralized Loan Obligations     184,038,864  
     

 

 

 
          Commercial Mortgage-Backed Securities — 23.4%  
    10,000,000     BAMLL Commercial Mortgage Securities Trust, Series 19-BPR, Class ANM, 144A, 3.11%, due 11/05/32     9,253,172  
    11,857,600     Barclays Commercial Mortgage Trust, Series 18-TALL, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.72%, 4.60%, due 03/15/37     11,074,799  
    8,448,000     Barclays Commercial Mortgage Trust, Series 18-CHRS, Class E, 144A, Variable Rate, 4.41%, due 08/05/38     5,889,500  
    9,180,000     BBCMS Mortgage Trust, Series 18-C2, Class A5, 4.31%, due 12/15/51     8,747,882  
    6,283,693     Bear Stearns Mortgage Funding Trust, Series 06-AR1, Class 1A1, Variable Rate, 1 mo. LIBOR + 0.42%, 4.46%, due 07/25/36     5,436,587  
    6,240,722     Benchmark Mortgage Trust, Series 19-B11, Class A5, 3.54%, due 05/15/52     5,692,444  
    7,000,000     Benchmark Mortgage Trust, Series 19-B12, Class A5, 3.12%, due 08/15/52     6,207,904  
    1,000,000     Benchmark Mortgage Trust, Series 18-B7, Class A4, Variable Rate, 4.51%, due 05/15/53     965,859  
    19,000,000     Benchmark Mortgage Trust, Series 19-B15, Class A5, 2.93%, due 12/15/72     16,541,033  
    6,550,000     BX Commercial Mortgage Trust, Series 21-VINO, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.65%, 4.53%, due 05/15/38     6,270,766  
    6,400,000     BX Commercial Mortgage Trust, Series 21-ACNT, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.85%, 4.73%, due 11/15/38     6,137,016  
    8,000,000     BX Commercial Mortgage Trust, Series 20-VIV4, Class A, 144A, 2.84%, due 03/09/44     6,432,088  
    8,000,000     BX Commercial Mortgage Trust, Series 20-VIVA, Class D, 144A, Variable Rate, 3.67%, due 03/11/44     5,881,440  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

          Commercial Mortgage-Backed Securities — continued  
    8,000,000     BX Trust, Series 19-OC11, Class A, 144A, 3.20%, due 12/09/41         6,739,914  
    4,895,000     BX Trust, Series 19-OC11, Class C, 144A, 3.86%, due 12/09/41     4,020,266  
    9,000,000     BX Trust, Series 19-OC11, Class E, 144A, Variable Rate, 4.08%, due 12/09/41     6,975,366  
    6,800,000     Citigroup Commercial Mortgage Trust, Series 19-C7, Class A4, 3.10%, due 12/15/72     5,936,054  
    3,031,837     Commercial Mortgage Trust, Series 15-PC1, Class B, Variable Rate, 4.43%, due 07/10/50     2,798,733  
    8,038,852     Commercial Mortgage Trust, Series 18-COR3, Class A3, 4.23%, due 05/10/51     7,602,945  
    103,486     Credit Suisse First Boston Mortgage Securities Corp., Series 05-C2, Class AMFL, Variable Rate, 1 mo. LIBOR + 0.25%, 4.16%, due 04/15/37     103,620  
    81,761     Credit Suisse First Boston Mortgage Securities Corp., Series 05-C2, Class AMFX, 4.88%, due 04/15/37     81,624  
    5,570,000     ELP Commercial Mortgage Trust, Series 21-ELP, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.70%, 4.58%, due 11/15/38     5,313,493  
    4,698,295     FREMF Mortgage Trust, Series 16-KF13, Class B, 144A, Variable Rate, 1 mo. LIBOR + 7.50%, 11.30%, due 11/25/25     4,654,095  
    2,000,000     Grace Trust, Series 20-GRCE, Class A, 144A, 2.35%, due 12/10/40     1,541,873  
    7,000,000     GS Mortgage Securities Corp. Trust, Series 22-SHIP, Class A, 144A, Variable Rate, SOFR + 0.73%, 4.53%, due 08/15/36     6,858,326  
    10,000,000     GS Mortgage Securities Trust, Series 21-GSA3, Class A5, 2.62%, due 12/15/54     7,963,399  
    5,500,000     ILPT Commercial Mortgage Trust, Series 22-LPFX, Class A, 144A, 3.38%, due 03/15/32     4,595,403  
    101,857     LB Commercial Conduit Mortgage Trust, Series 98-C1, Class K, 144A, 6.30%, due 02/18/30     101,154  
    237,365     Merrill Lynch Mortgage Investors Trust, Series 98-C1, Class F, Variable Rate, 6.25%, due 11/15/26     237,473  
    4,108,246     MHC Commercial Mortgage Trust, Series 21-MHC, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.80%, 4.68%, due 04/15/38     3,964,155  
    10,000,000     MKT Mortgage Trust, Series 20-525M, Class A, 144A, 2.69%, due 02/12/40     7,936,943  
    1,982,000     Morgan Stanley Capital I Trust, Series 19-H6, Class A4, 3.42%, due 06/15/52     1,762,864  
    5,000,000     Taubman Centers Commercial Mortgage Trust, Series 22-DPM, Class A, 144A, Variable Rate, SOFR + 2.19%, 5.98%, due 05/15/37     4,899,999  
    5,268,100     UBS Commercial Mortgage Trust, Series 18-C9, Class A4, Variable Rate, 4.12%, due 03/15/51     4,943,336  
    7,933,000     UBS Commercial Mortgage Trust, Series 18-C12, Class A5, 4.30%, due 08/15/51     7,499,247  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

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

 

          Commercial Mortgage-Backed Securities — continued  
    1,870,013     Velocity Commercial Capital Loan Trust, Series 22-1, Class A, 144A, Variable Rate, 3.38%, due 02/25/52     1,716,060  
    4,550,000     WaMu Commercial Mortgage Securities Trust, Series 06-SL1, Class E, 144A, Variable Rate, 2.92%, due 11/23/43     4,440,355  
    2,312,354     WaMu Commercial Mortgage Securities Trust, Series 07-SL3, Class G, 144A, Variable Rate, 3.33%, due 03/23/45     2,297,706  
    3,572,960     WaMu Commercial Mortgage Securities Trust, Series 07-SL3, Class J, 144A, Variable Rate, 3.33%, due 03/23/45     3,343,535  
    4,317,000     Wells Fargo Commercial Mortgage Trust, Series 13-BTC, Class D, 144A, Variable Rate, 3.67%, due 04/16/35     4,180,694  
    8,733,000     Wells Fargo Commercial Mortgage Trust, Series 13-BTC, Class F, 144A, Variable Rate, 3.67%, due 04/16/35     8,345,229  
    2,704,000     Wells Fargo Commercial Mortgage Trust, Series 19-C50, Class C, 4.35%, due 05/15/52     2,228,655  
    2,030,000     Wells Fargo Commercial Mortgage Trust, Series 19-C51, Class A4, 3.31%, due 06/15/52     1,805,563  
    1,395,022     Wells Fargo Commercial Mortgage Trust, Series 18-C47, Class A4, 4.44%, due 09/15/61     1,336,497  
     

 

 

 
    Total Commercial Mortgage-Backed Securities     220,755,066  
     

 

 

 
          Residential Mortgage-Backed Securities — Other — 7.2%  
    805,555     ACE Securities Corp. Home Equity Loan Trust, Series 06-ASL1, Class A, Variable Rate, 1 mo. LIBOR + 0.28%, 4.32%, due 02/25/36     112,642  
    17,663,707     American Home Mortgage Investment Trust, Series 06-2, Class 4A, Variable Rate, 1 mo. LIBOR + 0.36%, 4.40%, due 02/25/36     424,307  
    6,000,000     AMSR Trust, Series 20-SFR5, Class A, 144A, 1.38%, due 11/17/37     5,322,401  
    13,743,281     BankAmerica Manufactured Housing Contract Trust, Series 98-1, Class B2, Variable Rate, 8.00%, due 08/10/25     3,829,819  
    4,753,124     BCMSC Trust, Series 99-A, Class M1, Variable Rate, 6.79%, due 03/15/29     4,387,343  
    8,834,023     BCMSC Trust, Series 99-B, Class A4, Variable Rate, 7.30%, due 12/15/29     1,285,082  
    2,928,137     BCMSC Trust, Series 00-A, Class A4, Variable Rate, 8.29%, due 06/15/30     450,775  
    164,762     Bear Stearns Mortgage Funding Trust, Series 07-SL2, Class 1A, Variable Rate, 1 mo. LIBOR + 0.32%, 4.36%, due 02/25/37     184,629  
    2,919,205     Conseco Finance Corp., Series 97-6, Class M1, Variable Rate, 7.21%, due 01/15/29     2,712,447  
    2,182,280     Conseco Finance Corp., Series 98-6, Class M1, Variable Rate, 6.63%, due 06/01/30     2,034,796  
    5,454,750     Conseco Finance Securitizations Corp., Series 01-3, Class M1, Variable Rate, 7.15%, due 05/01/33     4,821,957  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

          Residential Mortgage-Backed Securities —
Other — continued
 
    1,036,525     Corevest American Finance Trust, Series 21-1, Class A, 144A, 1.57%, due 04/15/53     895,902  
    8,487,631     FirstKey Homes Trust, Series 21-SFR3, Class A, 144A, 2.14%, due 12/17/38         7,367,130  
    666,263     GMACM Home Equity Loan Trust, Series 04-HE3, Class A3, FSA, Variable Rate, 1 mo. LIBOR + 0.50%, 4.54%, due 10/25/34     628,323  
    2,430,981     GMACM Home Equity Loan Trust, Series 07-HE3, Class 2A1, Variable Rate, 5.16%, due 09/25/37     2,122,737  
    4,332,782     Home Equity Loan Trust, Series 05-HS1, Class AI4, Step Up, 5.59%, due 09/25/35     239,598  
    28,552,098     Home Equity Mortgage Loan Asset-Backed Trust, Series 06-A, Class A, Variable Rate, 1 mo. LIBOR + 0.26%, 4.30%, due 06/25/36     604,671  
    8,893,397     Home Loan Trust, Series 06-HI4, Class A4, Step Up, 6.22%, due 09/25/36     3,259,080  
    9,334,288     Home Loan Trust, Series 07-HI1, Class A4, Step Up, 6.43%, due 03/25/37     1,816,927  
    3,667,638     Master Second Lien Trust, Series 06-1, Class A, Variable Rate, 1 mo. LIBOR + 0.32%, 4.36%, due 03/25/36     307,404  
    222,388     Mellon Re-REMIC Pass-Through Trust, Series 04-TBC1, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.25% ,4.28%, due 02/26/34     195,348  
    1,253,907     New Century Home Equity Loan Trust, Series 03-B, Class M1, Variable Rate, 1 mo. LIBOR + 0.98%, 5.02%, due 10/25/33     1,182,334  
    13,646,469     New Century Home Equity Loan Trust, Series 06-S1, Class A2A, Variable Rate, 1 mo. LIBOR + 0.20%, 4.24%, due 03/25/36     415,311  
    7,784,226     New Century Home Equity Loan Trust, Series 06-S1, Class A1, Variable Rate, 1 mo. LIBOR + 0.34%, 4.38%, due 03/25/36     236,751  
    20,753,602     New Century Home Equity Loan Trust, Series 06-S1, Class A2B, Variable Rate, 1 mo. LIBOR + 0.40%, 4.44%, due 03/25/36     631,032  
    64,155     Nomura Asset Acceptance Corp. Alternative Loan Trust, Series 05-S3, Class M1, Variable Rate, 1 mo. LIBOR + 0.90%, 4.94%, due 08/25/35     351,406  
    972,670     Oakwood Mortgage Investors, Inc., Series 98-A, Class B1, Variable Rate, 7.50%, due 05/15/28     915,604  
    1,136,572     Oakwood Mortgage Investors, Inc., Series 98-D, Class M1, 144A, 7.42%, due 01/15/29     1,083,203  
    3,566,111     Oakwood Mortgage Investors, Inc., Series 99-E, Class A1, Variable Rate, 7.61%, due 03/15/30     2,303,588  
    11,780,230     Oakwood Mortgage Investors, Inc., Series 00-D, Class A4, Variable Rate, 7.40%, due 07/15/30     3,161,920  
    920,421     Oakwood Mortgage Investors, Inc., Series 01-D, Class A4, Variable Rate, 6.93%, due 09/15/31     527,006  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

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

 

          Residential Mortgage-Backed Securities —
Other — continued
 
    506,266     Oakwood Mortgage Investors, Inc., Series 01-E, Class A3, 5.69%, due 12/15/31     476,732  
    1,350,000     Progress Residential Trust, Series 21-SFR10, Class A, 144A, 2.39%, due 12/17/40     1,097,648  
    4,605,424     Tricon American Homes Trust, Series 19-SFR1, Class A, 144A, 2.75%, due 03/17/38     4,202,734  
    3,479,463     Tricon American Homes Trust, Series 20-SFR2, Class A, 144A, 1.48%, due 11/17/39     2,886,584  
    5,791,685     Verus Securitization Trust, Series 22-5, Class A1, 144A, Step Up, 3.80%, due 04/25/67     5,218,097  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Other       67,693,268  
     

 

 

 
          Residential Mortgage-Backed Securities —
Performing Loans — 1.4%
 
    2,941,687     Ajax Mortgage Loan Trust, Series 21-A, Class A1, 144A, Variable Rate, 1.07%, due 09/25/65     2,555,508  
    7,095,257     CSMC Mortgage-Backed Trust, Series 22-NQM1, Class A1, 144A, Variable Rate, 2.27%, due 11/25/66     5,923,647  
    5,742,916     Verus Securitization Trust, Series 21-8, Class A, 144A, Variable Rate, 1.82%, due 11/25/66     4,814,253  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Performing Loans     13,293,408  
     

 

 

 
          Residential Mortgage-Backed Securities —
Prime — 3.5%
 
    7,327,464     American Home Mortgage Assets Trust, Series 06-4, Class 1A12, Variable Rate, 1 mo. LIBOR + 0.21%, 4.23%, due 10/25/46     3,891,436  
    514,761     Bear Stearns ARM Trust, Series 05-9, Class A1, Variable Rate, U.S. Treasury Yield 1 Year CMT + 2.30%, 5.23%, due 10/25/35     472,202  
    3,967,994     CSMC Mortgage-Backed Trust, Series 07-4, Class 2A1, 6.00%, due 06/25/37     2,308,512  
    1,337,790     IndyMac INDA Mortgage Loan Trust, Series 06-AR3, Class 1A1, Variable Rate, 3.51%, due 12/25/36     1,123,085  
    913,303     IndyMac INDA Mortgage Loan Trust, Series 07-AR1, Class 1A1, Variable Rate, 3.01%, due 03/25/37     743,829  
    7,666,287     IndyMac INDX Mortgage Loan Trust, Series 06-AR2, Class 1A1A, Variable Rate, 1 mo. LIBOR + 0.44%, 4.48%, due 04/25/46     6,217,654  
    1,627,406     Morgan Stanley Mortgage Loan Trust, Series 06-2, Class 6A, 6.50%, due 02/25/36     816,689  
    57,533     RFMSI Trust, Series 05-SA4, Class 2A2, Variable Rate, 4.17%, due 09/25/35     54,474  
    4,675,631     Structured Adjustable Rate Mortgage Loan Trust, Series 05-9, Class 2A2A, Variable Rate, 12 MTA + 1.40%, 3.09%, due 05/25/35     3,547,881  
    796,867     WaMu Mortgage Pass-Through Certificates, Series 05-AR10, Class 1A3, Variable Rate, 3.83%, due 09/25/35     697,457  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

          Residential Mortgage-Backed Securities —
Prime — continued
 
    915,656     WaMu Mortgage Pass-Through Certificates, Series 06-AR19, Class 2A, Variable Rate, 12 MTA + 1.25%, 2.94%, due 01/25/47     812,835  
    2,216,913     Washington Mutual Mortgage Pass-Through Certificates, Series 05-4, Class CB3, Variable Rate, 1 mo. LIBOR + 0.45%, 4.49%, due 06/25/35     1,929,648  
    2,293,439     Washington Mutual Mortgage Pass-Through Certificates, Series 05-10, Class 4CB3, Variable Rate, 1 mo. LIBOR + 0.60%, 4.64%, due 12/25/35     1,993,608  
    9,037,404     Washington Mutual Mortgage Pass-Through Certificates, Series 07-5, Class A6, 6.00%, due 06/25/37     8,708,389  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Prime       33,317,699  
     

 

 

 
          Residential Mortgage-Backed Securities —
Subprime — 1.9%
 
    1,238,678     Asset Backed Funding Certificates Trust, Series 05-AQ1, Class A5, Step Up, 4.36%, due 06/25/35     1,161,469  
    1,319,324     BCAP LLC, Series 14-RR2, Class 11A3, 144A, Variable Rate, 3.48%, due 05/26/37     1,265,105  
    9,697,144     Bravo Mortgage Asset Trust, Series 06-1A, Class M1, 144A, Variable Rate, 1 mo. LIBOR + 0.60%, 4.62%, due 07/25/36     8,069,750  
    597,754     Carrington Mortgage Loan Trust, Series 07-RFC1, Class A3, Variable Rate, 1 mo. LIBOR + 0.14%, 4.18%, due 12/25/36     563,341  
    1,043,206     CHL Mortgage Pass-Through Trust, Series 04-HYB6, Class A2, Variable Rate, 3.87%, due 11/20/34     952,219  
    2,794,767     First Franklin Mortgage Loan Trust, Series 06-FF12, Class A1, Variable Rate, 1 mo. LIBOR + 0.11%, 4.15%, due 09/25/36     2,456,467  
    877,307     Lehman XS Trust, Series 07-15N, Class 2A1, Variable Rate, 1 mo. LIBOR + 0.50%, 4.54%, due 08/25/37     775,650  
    3,264,549     Residential Asset Mortgage Products Trust, Series 05-RS1, Class MII2, Variable Rate, 1 mo. LIBOR + 0.80%, 5.24%, due 01/25/35     2,897,954  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Subprime     18,141,955  
     

 

 

 
          Residential Mortgage-Backed Securities —
Alt-A — 2.7%
 
    346,515     Alternative Loan Trust, Series 04-J11, Class 1CB1, 5.50%, due 11/25/34     328,919  
    2,554,560     Alternative Loan Trust, Series 05-18CB, Class A8, 5.50%, due 05/25/35     2,349,147  
    1,614,834     Alternative Loan Trust, Series 06-7CB, Class 1A1, Variable Rate, 1 mo. LIBOR + 0.70%, 4.74%, due 05/25/36     704,146  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

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

 

          Residential Mortgage-Backed Securities —
Alt-A — continued
 
    1,624,748     Alternative Loan Trust, Series 06-28CB, Class A1, Variable Rate, 1 mo. LIBOR + 0.70%, 4.74%, due 10/25/36     677,404  
    1,324,311     Bear Stearns ALT-A Trust, Series 04-11, Class 1M1, Variable Rate, 1 mo. LIBOR + 0.90%, 4.94%, due 11/25/34     1,284,800  
    2,182,929     Bear Stearns ALT-A Trust, Series 07-1, Class 1A1, Variable Rate, 1 mo. LIBOR + 0.32%, 4.36%, due 01/25/47     1,698,654  
    1,976,759     Bear Stearns Asset Backed Securities I Trust, Series 04-AC5, Class A1, Step Up, 5.75%, due 10/25/34     1,802,238  
    3,896,777     Citigroup Mortgage Loan Trust, Inc., Series 06-AR5, Class 2A2A, Variable Rate, 3.57%, due 07/25/36     2,237,820  
    11,166,103     GSAA Home Equity Trust, Series 06-9, Class A3, Variable Rate, 1 mo. LIBOR + 0.32%, 4.36%, due 06/25/36     2,494,868  
    9,557,759     GSR Mortgage Loan Trust, Series 07-OA2, Class 1A1, Variable Rate, 2.71%, due 06/25/47     5,964,800  
    6,976,363     HarborView Mortgage Loan Trust, Series 07-4, Class 2A1, Variable Rate, 1 mo. LIBOR + 0.22%, 4.16%, due 07/19/47     6,094,867  
    183,525     JP Morgan Resecuritization Trust, Series 09-10, Class 7A1, 144A, Variable Rate, 6.93%, due 02/26/37     179,171  
     

 

 

 
    Total Residential Mortgage-Backed Securities — Alt-A     25,816,834  
     

 

 

 
          Small Balance Commercial Mortgages — 6.3%  
    2,999,213     Bayview Commercial Asset Trust, Series 05-2A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.47%, 4.51%, due 08/25/35     2,738,483  
    1,637,813     Bayview Commercial Asset Trust, Series 05-4A, Class A2, 144A, Variable Rate, 1 mo. LIBOR + 0.59%, 4.63%, due 01/25/36     1,485,343  
    1,881,237     Bayview Commercial Asset Trust, Series 06-1A, Class A2, 144A, Variable Rate, 1 mo. LIBOR + 0.54%, 4.58%, due 04/25/36     1,672,595  
    829,451     Bayview Commercial Asset Trust, Series 06-1A, Class M1, 144A, Variable Rate, 1 mo. LIBOR + 0.57%, 4.61%, due 04/25/36     730,820  
    1,188,935     Bayview Commercial Asset Trust, Series 06-2A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.35%, 4.39%, due 07/25/36     1,079,399  
    2,431,981     Bayview Commercial Asset Trust, Series 06-2A, Class A2, 144A, Variable Rate, 1 mo. LIBOR + 0.42%, 4.46%, due 07/25/36     2,214,301  
    2,882,711     Bayview Commercial Asset Trust, Series 06-3A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.38%, 4.42%, due 10/25/36     2,674,449  
    9,074,334     Bayview Commercial Asset Trust, Series 06-SP2, Class A, 144A, Variable Rate, 1 mo. LIBOR + 0.42%, 4.46%, due 01/25/37     8,157,678  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

          Small Balance Commercial Mortgages — continued  
    1,838,783     Bayview Commercial Asset Trust, Series 07-1, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.22%, 4.37%, due 03/25/37     1,652,351  
    2,637,428     Bayview Commercial Asset Trust, Series 07-3, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.24%, 4.28%, due 07/25/37     2,306,370  
    5,581,602     Bayview Commercial Asset Trust, Series 07-2A, Class A1, 144A, Variable Rate, 1 mo. LIBOR + 0.27%, 4.31%, due 07/25/37     4,873,405  
    1,864,556     Bayview Commercial Asset Trust, Series 08-1, Class A4, 144A, Variable Rate, 1 mo. LIBOR + 1.50%, 5.54%, due 01/25/38     1,783,653  
    88,502,631     FRESB Mortgage Trust, Series 20-SB76, Class X1, IO, Variable Rate, 1.29%, due 05/25/30     3,860,520  
    20,491,593     FRESB Mortgage Trust, Series 20-SB74, Class X1, Variable Rate, 1.24%, due 03/25/40     798,371  
    70,512,249     FRESB Mortgage Trust, Series 20-SB77, Class X1, IO, Variable Rate, 0.99%, due 06/25/40     2,600,471  
    1,877,932     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 06-1A, Class B, 144A, Variable Rate, 1 mo. LIBOR + 1.00%, 5.04%, due 04/25/31     1,849,077  
    3,804,002     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-2A, Class M1, 144A, Variable Rate, 1 mo. LIBOR + 0.40%, 4.44%, due 06/25/37     3,646,736  
    6,150,929     Lehman Brothers Small Balance Commercial Mortgage Trust, Series 07-3A, Class M1, 144A, Variable Rate, 5.43%, due 10/25/37     5,818,088  
    6,704,725     Velocity Commercial Capital Loan Trust, Series 21-4, Class A, 144A, Variable Rate, 2.52%, due 12/26/51     5,673,523  
    1,800,911     Velocity Commercial Capital Loan Trust, Series 21-4, Class M3, 144A, Variable Rate, 3.81%, due 12/26/51     1,450,014  
    2,703,290     WaMu Commercial Mortgage Securities Trust, Series 07-SL2, Class E, 144A, Variable Rate, 3.04%, due 12/27/49     2,620,311  
     

 

 

 
    Total Small Balance Commercial Mortgages     59,685,958  
     

 

 

 
          Student Loans — Federal Family Education Loan
Program — 5.1%
 
    5,394,773     AccessLex Institute, Series 04-2, Class B, Variable Rate, 3 mo. LIBOR + 0.70%, 5.06%, due 01/25/43     4,900,689  
    2,924,427     Collegiate Funding Services Education Loan Trust, Series 05-B, Class B, Variable Rate, 3 mo. LIBOR + 0.32%, 3.96%, due 03/28/35     2,406,870  
    7,698,646     SLC Student Loan Trust, Series 08-2, Class A4, Variable Rate, 3 mo. LIBOR + 0.90%, 4.19%, due 06/15/21     7,435,416  
    16,906,755     SLM Student Loan Trust, Series 08-9, Class A, Variable Rate, 3 mo. LIBOR + 1.50%, 5.86%, due 04/25/23     16,701,100  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

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

 

          Student Loans — Federal Family Education Loan
Program — continued
 
    7,175,460     SLM Student Loan Trust, Series 08-5, Class A4, Variable Rate, 3 mo. LIBOR + 1.70%, 6.06%, due 07/25/23     7,075,330  
    9,175,055     SLM Student Loan Trust, Series 08-4, Class A4, Variable Rate, 3 mo. LIBOR + 1.65%, 6.01%, due 07/25/25     9,127,876  
     

 

 

 
    Total Student Loans - Federal Family Education Loan Program     47,647,281  
     

 

 

 
          Student Loans — Private — 12.9%      
    1,790,880     Access Group, Inc., Series 05-A, Class B, Variable Rate, 3 mo. LIBOR + 0.80%, 5.16%, due 07/25/34     1,723,147  
    6,256,706     KeyCorp Student Loan Trust, Series 06-A, Class 2C, Variable Rate, 3 mo. LIBOR + 1.30%, 4.93%, due 12/27/38     5,830,650  
    3,665,247     KeyCorp Student Loan Trust, Series 06-A, Class 2B, Variable Rate, 3 mo. LIBOR + 0.48%, 4.11%, due 12/27/41     3,634,960  
    498,133     KeyCorp Student Loan Trust, Series 04-A, Class 2C, Variable Rate, 3 mo. LIBOR + 0.80%, 5.16%, due 04/28/42     497,108  
    5,622,500     KeyCorp Student Loan Trust, Series 04-A, Class 2D, Variable Rate, 3 mo. LIBOR + 1.25%, 5.61%, due 07/28/42     5,160,138  
    8,775,000     National Collegiate Commutation Trust, Series 07-3, Class A3R4, 144A, Variable Rate, 3.60%, due 03/31/38 (a)     2,347,313  
    7,625,000     National Collegiate II Commutation Trust, Series 07-4, Class A3R7, Variable Rate, 28-DayAuct + 0.00%, 2.54%, due 03/25/38 (a)     1,982,500  
    3,275,000     National Collegiate II Commutation Trust, Series 07-4, Class A3R6, Variable Rate, 28-DayAuct + 0.00%, 5.28%, due 03/25/38 (a)     851,500  
    4,335,351     National Collegiate Student Loan Trust, Series 06-4, Class A4, Variable Rate, 1 mo. LIBOR + 0.31%, 4.35%, due 05/25/32     4,043,533  
    3,199,578     National Collegiate Student Loan Trust, Series 07-2, Class A4, Variable Rate, 1 mo. LIBOR + 0.29%, 4.31%, due 01/25/33     2,993,763  
    10,529,205     National Collegiate Student Loan Trust, Series 06-1, Class A5, Variable Rate, 1 mo. LIBOR + 0.35%, 4.37%, due 03/25/33     9,825,979  
    4,343,101     National Collegiate Student Loan Trust, Series 05-2, Class A51, Variable Rate, 1 mo. LIBOR + 0.37%, 4.39%, due 06/25/33     4,057,166  
    15,126,381     National Collegiate Student Loan Trust, Series 07-1, Class A4, Variable Rate, 1 mo. LIBOR + 0.31%, 4.32%, due 10/25/33       14,152,005  
    4,759,575     National Collegiate Student Loan Trust, Series 04-2, Class B, Variable Rate, 1 mo. LIBOR + 0.54%, 4.56%, due 12/26/33     4,528,513  
    75,000     National Collegiate Student Loan Trust, Series 07-4, Class A3A7, Variable Rate, 7.54%, due 03/25/38 (b)     57,000  
         
Par Value†
    Description   Value ($)  
    Asset-Backed Securities — continued

 

          Student Loans — Private — continued      
    25,000     National Collegiate Student Loan Trust, Series 07-3, Class A3A4, Variable Rate, 7.62%, due 03/25/38 (b)     19,000  
    4,006,736     Navient Student Loan Trust, Series 22-A, Class A, 144A, 2.23%, due 07/15/70     3,485,011  
    3,382,587     Nelnet Student Loan Trust, Series 21-A, Class APT1, 144A, 1.36%, due 04/20/62     2,979,787  
    3,729,000     SLM Private Credit Student Loan Trust, Series 03-A, Class A3, Variable Rate, 7.34%, due 06/15/32 (a)     3,635,775  
    5,400,350     SLM Private Credit Student Loan Trust, Series 03-C, Class C, Variable Rate, 3 mo. LIBOR + 1.60%, 4.89%, due 09/15/32     1,727,852  
    1,850,000     SLM Private Credit Student Loan Trust, Series 03-C, Class A3, Variable Rate, 7.36%, due 09/15/32 (a)     1,803,750  
    3,863,204     SLM Private Credit Student Loan Trust, Series 04-A, Class A3, Variable Rate, 3 mo. LIBOR + 0.40%, 3.69%, due 06/15/33     3,764,998  
    9,080,000     SLM Private Credit Student Loan Trust, Series 04-B, Class A4, Variable Rate, 3 mo. LIBOR + 0.43%, 3.72%, due 09/15/33     8,718,455  
    6,407,828     SLM Private Credit Student Loan Trust, Series 06-A, Class A5, Variable Rate, 3 mo. LIBOR + 0.29%, 3.58%, due 06/15/39     6,015,054  
    11,212,977     SLM Private Credit Student Loan Trust, Series 05-B, Class A4, Variable Rate, 3 mo. LIBOR + 0.33%, 3.62%, due 06/15/39     10,547,714  
    9,074,002     SLM Private Credit Student Loan Trust, Series 06-B, Class A5, Variable Rate, 3 mo. LIBOR + 0.27%, 3.56%, due 12/15/39     8,550,301  
    2,672,291     SLM Private Credit Student Loan Trust, Series 06-C, Class C, Variable Rate, 3 mo. LIBOR + 0.39%, 3.68%, due 12/15/39     2,378,726  
    6,989,400     Towd Point Asset Trust, Series 18-SL1, Class B, 144A, Variable Rate, 1 mo. LIBOR + 1.05%, 5.07%, due 01/25/46     6,653,234  
     

 

 

 
    Total Student Loans - Private     121,964,932  
     

 

 

 
    Total Asset-Backed Securities     794,377,207  
     

 

 

 
          Corporate Debt — 0.4%      
          Airlines — 0.4%      
    2,568,125     American Airlines Class AA Pass-Through Certificates, 3.65%, due 02/15/29     2,305,153  
    1,406,997     American Airlines Class AA Pass-Through Certificates, 3.35%, due 04/15/31     1,237,614  
     

 

 

 
    Total Airlines     3,542,767  
     

 

 

 
    Total Corporate Debt     3,542,767  
     

 

 

 
          U.S. Government — 5.5%      
    1,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 10/31/23 (c)     1,000,752  
    3,700,000     U.S. Treasury Note, Variable Rate, USBM - 0.08%, 4.26%, due 04/30/24     3,693,507  
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    

    

Par Value†

    Description   Value ($)  
    Corporate Debt — continued  
          U.S. Government — continued      
    47,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 07/31/24 (c)     46,940,085  
     

 

 

 
    Total U.S. Government     51,634,344  
     

 

 

 
          U.S. Government Agency — 0.6%      
    705,000     Agency for International Development Floater (Support of Tunisia), Variable Rate, 6 mo. LIBOR - 0.02%, 5.22%, due 07/01/23 (a)     703,076  
    2,468,750     Agency for International Development Floater (Support of Morocco), Variable Rate, 6 mo. LIBOR - 0.02%, 5.20%, due 02/01/25 (a)     2,444,062  
    3,000,000     Agency for International Development Floater (Support of Morocco), Variable Rate, 6 mo. LIBOR + 0.15%, 5.31%, due 10/29/26 (a)     2,959,141  
     

 

 

 
    Total U.S. Government Agency     6,106,279  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $962,366,188)
    855,660,597  
     

 

 

 
     Shares /
Par Value†
    Description   Value ($)  
    MUTUAL FUNDS — 1.2%  
          United States — 1.2%      
          Affiliated Issuers — 1.2%      
    2,183,242     GMO U.S. Treasury Fund     10,872,546  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $11,003,541)
    10,872,546  
     

 

 

 
          SHORT-TERM INVESTMENTS — 2.8%  
          U.S. Government Agency — 0.5%      
    5,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.03%, 3.84%, due 12/02/22     4,999,999  
     

 

 

 
          Repurchase Agreements — 2.3%      
    21,999,790     Nomura Securities International, Inc. Repurchase Agreement, dated, 11/30/22 maturing on 12/01/22 with a maturity value of $22,002,113 and an effective yield of 3.80%, collateralized by a U.S. Treasury Note with maturity date 11/30/24 and a market value of $22,448,752.     21,999,790  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $26,999,790)
    26,999,789  
     

 

 

 
 

 

PURCHASED OPTIONS — 0.0%

 

Description   Counterparty   Exercise
Rate
    Expiration
Date
    Principal/
Notional
Amount
    Floating
Rate Index
    Pay/Receive
Floating Rate
  Value ($)  
Options on Credit Default Swaps — Puts — 0.0%

 

     

CDX.NA.IG.S39

  DB     85.00     12/21/22       USD 74,835,000       Fixed Spread     Pay     38,766  
             

 

 

 
                       TOTAL PURCHASED OPTIONS (COST $179,604)                                                      38,766  
   

 

 

 
  TOTAL INVESTMENTS — 94.6%
(Cost $1,000,549,123)
    893,571,698  
  Other Assets and Liabilities (net) — 5.4%     50,708,716  
   

 

 

 
  TOTAL NET ASSETS — 100.0%   $ 944,280,414  
   

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation) ($)
 
01/18/2023   MSCI   EUR     4,706,200       USD       4,925,325     $ 9,086  
           

 

 

 
 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount

($)
    Value/Net
Unrealized
Appreciation
(Depreciation)

($)
 
Buys        
950   U.S. Treasury Note 2 Yr. (CBT)     March 2023       195,091,407       608,458  
512   U.S. Treasury Note 5 Yr. (CBT)     March 2023       55,588,001       328,150  
73   U.S. Treasury Ultra 10 Yr. (CBT)     March 2023       8,734,906       49,949  
     

 

 

   

 

 

 
      $ 259,414,314     $ 986,557  
     

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount

($)
    Value/Net
Unrealized
Appreciation
(Depreciation)

($)
 
Sales      
157   U.S. Treasury Note 10 Yr. (CBT)    
March
2023
 
 
  $ 17,819,500     $ 16,685  
     

 

 

   

 

 

 

 

+

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

 

CDX.NA.IG.S39

     DB      105.00%      12/21/22          USD          (54,225,000     Fixed Spread        Pay        (5,040

CDX.NA.IG.S39

     BCLY      105.00%      12/21/22          USD          (70,500,000     Fixed Spread        Pay        (6,553

CDX.NA.IG.S39

     DB      100.00%      01/18/23          USD          (74,835,000     Fixed Spread        Pay        (39,924
                                  

 

 

 
               Total Written Options On Credit Default Swaps — Puts        (51,517
                                  

 

 

 
              
TOTAL WRITTEN OPTIONS
(Premiums $400,325)
     $ (51,517
                                  

 

 

 

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.HY.S37.V2

  USD   13,355,100   5.00%     3.81%       N/A       12/20/2026       Quarterly       (741,208     (537,756     203,452  

ITRAXX.XO.36.V1

  EUR   16,780,000   5.00%     3.99%       N/A       12/20/2026       Quarterly       (597,455     (601,733     (4,278

CDX.NA.IG.S39

  USD   124,725,000   1.00%     0.76%       N/A       12/20/2027       Quarterly       (471,153     (1,361,997     (890,844
               

 

 

   

 

 

   

 

 

 
  $ (1,809,816   $ (2,501,486   $ (691,670
 

 

 

   

 

 

   

 

 

 

OTC Credit Default Swaps

 

Reference Entity

 

Counter-
party

 

Notional
Amount

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

Buy Protection^:

 

CDX.NA.HYS.29

  JPM   USD     870,000     5.00%   0.07%   N/A     12/20/2022     Quarterly     (51,765     (2,346     49,419  

CDX.NA.HYS.29

  JPM   USD     6,425,250     5.00%   0.07%   N/A     12/20/2022     Quarterly     (282,711     (17,325     265,386  

CDX.NA.HYS.29

  MORD   USD     3,450,800     5.00%   0.07%   N/A     12/20/2022     Quarterly     (188,414     (9,305     179,109  

Navient Corp.

  BCLY   USD     2,082,800     5.00%   1.35%   N/A     12/20/2022     Quarterly     (160,628     (4,173     156,455  

Navient Corp.

  BCLY   USD     3,435,200     5.00%   1.35%   N/A     12/20/2022     Quarterly     (264,646     (6,883     257,763  

Navient Corp.

  GS   USD     2,700,000     5.00%   1.35%   N/A     12/20/2022     Quarterly     (277,471     (5,410     272,061  


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Swap Contracts — continued

OTC Credit Default Swaps — continued

 

Reference Entity

 

Counter-
party

 

Notional
Amount

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

Navient Corp.

  GS   USD     4,050,000     5.00%   1.35%   N/A     12/20/2022     Quarterly     (421,122     (8,114     413,008  

CDX.NA.HYS.31

  CITI   USD     3,941,000     5.00%   1.56%   N/A     12/20/2023     Quarterly     (15,370     (139,911     (124,541

CDX.NA.HYS.31

  CITI   USD     4,025,000     5.00%   1.56%   N/A     12/20/2023     Quarterly     41,458       (142,893     (184,351

CDX.NA.HYS.31

  CITI   USD     7,055,000     5.00%   1.56%   N/A     12/20/2023     Quarterly     44,878       (250,462     (295,340

CMBX.NA.A.7

  CGMI   USD     1,420,000     2.00%   8.95%   N/A     01/17/2047     Monthly     89,177       79,879       (9,298

CMBX.NA.A.7

  CITI   USD     10,000,000     2.00%   8.95%   N/A     01/17/2047     Monthly     593,750       562,528       (31,222

CMBX.NA.A.7

  GS   USD     2,840,000     2.00%   8.95%   N/A     01/17/2047     Monthly     156,358       159,758       3,400  

CMBX.NA.AS.7

  BOA   USD     4,505,000     1.00%   1.36%   N/A     01/17/2047     Monthly     47,352       13,310       (34,042

CMBX.NA.AS.7

  DB   USD     7,608,000     1.00%   1.36%   N/A     01/17/2047     Monthly     (119,899     22,477       142,376  

CMBX.NA.AS.7

  DB   USD     16,677,794     1.00%   1.36%   N/A     01/17/2047     Monthly     197,705       49,273       (148,432

CMBX.NA.AS.7

  GS   USD     4,400,000     1.00%   1.36%   N/A     01/17/2047     Monthly     112,812       12,999       (99,813

CMBX.NA.AS.7

  MORD   USD     13,270,000     1.00%   1.36%   N/A     01/17/2047     Monthly     205,782       39,205       (166,577

CMBX.NA.AA.11

  CGMI   USD     4,000,000     1.50%   1.91%   N/A     11/18/2054     Monthly     (6,041     68,468       74,509  

CMBX.NA.AA.11

  CGMI   USD     4,626,000     1.50%   1.91%   N/A     11/18/2054     Monthly     (63,740     79,184       142,924  

CMBX.NA.AA.11

  MORD   USD     4,624,500     1.50%   1.91%   N/A     11/18/2054     Monthly     (67,279     79,158       146,437  

CMBX.NA.AA.11

  MORD   USD     4,624,500     1.50%   1.91%   N/A     11/18/2054     Monthly     (61,371     79,158       140,529  

CMBX.NA.AA.8

  CSI   USD     8,892,000     1.50%   1.66%   N/A     10/17/2057     Monthly     247,717       24,470       (223,247

CMBX.NA.AS.8

  CGMI   USD     8,892,000     1.00%   0.98%   N/A     10/17/2057     Monthly     73,095       (3,437     (76,532

CMBX.NA.AS.8

  MORD   USD     3,384,000     1.00%   0.98%   N/A     10/17/2057     Monthly     140,432       (1,308     (141,740

CMBX.NA.BBB-.8

  GS   USD     1,444,000     3.00%   12.92%   N/A     10/17/2057     Monthly     216,864       226,074       9,210  

CMBX.NA.BBB-.8

  GS   USD     4,224,000     3.00%   12.92%   N/A     10/17/2057     Monthly     400,908       661,313       260,405  

CMBX.NA.BBB-.9

  DB   USD     2,936,200     3.00%   11.56%   N/A     09/17/2058     Monthly     356,201       573,674       217,473  

CMBX.NA.BBB-.9

  MORD   USD     5,116,800     3.00%   11.56%   N/A     09/17/2058     Monthly     584,727       999,719       414,992  

CMBX.NA.BBB-.10

  GS   USD     1,752,000     3.00%   8.64%   N/A     11/17/2059     Monthly     326,310       301,404       (24,906

CMBX.NA.BBB-.10

  GS   USD     4,000,000     3.00%   8.64%   N/A     11/17/2059     Monthly     745,000       688,138       (56,862

CMBX.NA.AA.12

  GS   USD     6,974,000     1.50%   2.05%   N/A     08/17/2061     Monthly     (61,732     185,481       247,213  

CMBX.NA.AA.6

  GS   USD     4,703,648     1.50%   64.87%   N/A     05/11/2063     Monthly     34,885       197,494       162,609  

CMBX.NA.BBB-.6

  CGMI   USD     4,274,000     3.00%   172.2%   N/A     05/11/2063     Monthly     1,357,351       669,494       (687,857

CMBX.NA.BB.14

  GS   USD     1,360,000     5.00%   9.89%   N/A     12/16/2072     Monthly     75,915       313,464       237,549  

CMBX.NA.BB.14

  GS   USD     3,140,000     5.00%   9.89%   N/A     12/16/2072     Monthly     175,274       723,732       548,458  

CMBX.NA.BB.14

  MSCI   USD     4,235,000     5.00%   9.89%   N/A     12/16/2072     Monthly     427,602       976,117       548,515  

CMBX.NA.BBB-.13

  CGMI   USD     2,000,000     3.00%   6.96%   N/A     12/16/2072     Monthly     286,083       382,312       96,229  

CMBX.NA.BBB-.13

  GS   USD     273,500     3.00%   6.96%   N/A     12/16/2072     Monthly     16,840       52,281       35,441  

CMBX.NA.BBB-.13

  GS   USD     1,800,000     3.00%   6.96%   N/A     12/16/2072     Monthly     66,662       344,081       277,419  

CMBX.NA.BBB-.13

  GS   USD     1,860,000     3.00%   6.96%   N/A     12/16/2072     Monthly     360,375       355,550       (4,825

CMBX.NA.BBB-.13

  MSCI   USD     4,982,250     3.00%   6.96%   N/A     12/16/2072     Monthly     674,981       952,388       277,407  

Sell Protection^:

 

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

  BOA   USD     5,115,600     5.00%   0.07%   5,115,600 USD     12/20/2022     Quarterly     742,274       13,794       (728,480

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

  MORD   USD     4,264,000     5.00%   0.07%   4,264,000 USD     12/20/2022     Quarterly     644,717       11,497       (633,220

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

  CITI   USD     5,994,100     5.00%   0.07%   5,994,100 USD     12/20/2022     Quarterly     229,274       16,163       (213,111

CDX.NA.HYS.31.V14-5Y

  CITI   USD     2,866,000     5.00%   0.38%   2,866,000 USD     12/20/2023     Quarterly     293,765       137,093       (156,672

CDX.NA.HYS.31.V14-5Y

  CITI   USD     4,657,000     5.00%   0.38%   4,657,000 USD     12/20/2023     Quarterly     492,478       222,764       (269,714

CDX.NA.HYS.31.V14-5Y

  CITI   USD     8,050,000     5.00%   0.38%   8,050,000 USD     12/20/2023     Quarterly     539,350       385,066       (154,284

CDX.NA.HYS.33.V12-5Y

  JPM   USD     10,394,872     5.00%   0.22%   10,394,872 USD     12/20/2024     Quarterly     1,704,759       967,727       (737,032

CDX.NA.HYS.33.V12-5Y

  MORD   USD     2,800,896     5.00%   0.22%   2,800,895 USD     12/20/2024     Quarterly     482,034       260,754       (221,280

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

  GS   USD     25,937,869     5.00%   0.22%   25,937,869 USD     12/20/2024     Quarterly     5,736,853       2,414,727       (3,322,126

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

  CITI   USD     4,201,343     5.00%   0.22%   4,201,343 USD     12/20/2024     Quarterly     444,572       391,131       (53,441

CDX.NA.HYS.33.V12-5Y

  CITI   USD     10,598,036     5.00%   0.22%   10,598,036 USD     12/20/2024     Quarterly     1,827,631       986,641       (840,990

CDX.NA.HYS.35

  GS   USD     6,643,000     5.00%   1.47%   6,643,000 USD     12/20/2025     Quarterly     396,845       669,336       272,491  

CDX.NA.HY.S37.35

  GS   USD     33,720,000     5.00%   0.59%   33,720,000 USD     12/20/2026     Quarterly     6,308,637       5,321,135       (987,502

ITRAXX.XO.36 35

  MSCI   EUR     33,560,000     5.00%   0.81%   33,560,000 EUR     12/20/2026     Quarterly     5,830,388       5,243,644       (586,744

CMBX.NA.AA.7

  CITI   USD     5,000,000     1.50%   5.21%   5,000,000 USD     01/17/2047     Monthly     (125,000     (151,852     (26,852

CMBX.NA.A.9

  GS   USD     4,158,800     2.00%   3.86%   4,158,800 USD     09/17/2058     Monthly     54,550       (196,145     (250,695

CMBX.NA.A.9

  CGMI   USD     2,500,000     2.00%   3.86%   2,500,000 USD     09/17/2058     Monthly     (74,374     (117,910     (43,536

CMBX.NA.AAA.10

  GS   USD     7,540,000     0.50%   0.54%   7,540,000 USD     11/17/2059     Monthly     68,960       (11,591     (80,551

CMBX.NA.AAA.13

  MORD   USD     14,445,000     0.50%   0.72%   14,445,000 USD     12/16/2072     Monthly     (311,920     (188,059     123,861  

CMBX.NA.AAA.13

  GS   USD     2,825,000     0.50%   0.72%   2,825,000 USD     12/16/2072     Monthly     6,615       (36,778     (43,393
                 

 

 

   

 

 

   

 

 

 
  $ 31,306,713     $ 25,620,153     $ (5,686,560
 

 

 

   

 

 

   

 

 

 


GMO Opportunistic Income Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (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, 2022, 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, 2022, 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)

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.

The rates shown on variable rate notes are the current interest rates at November 30, 2022, 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

CMBS - Commercial Mortgage Backed Security

CMT - Constant Maturity Treasury

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

IO - Interest Only

LIBOR - London Interbank Offered Rate

MTA - Monthly Treasury Average Index

SOFR - Secured Overnight Financing Rate

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

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, 2022 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
    SHORT-TERM INVESTMENTS — 100.6%

 

          U.S. Government — 53.7%      
    10,000,000     U.S. Treasury Note, 0.13%, due 01/31/23     9,932,629  
    40,000,000     U.S. Treasury Note, 0.13%, due 03/31/23     39,428,055  
    47,000,000     U.S. Treasury Note, 0.25%, due 06/15/23     45,907,617  
    40,000,000     U.S. Treasury Note, 0.13%, due 08/15/23     38,717,188  
    55,000,000     U.S. Treasury Note, Variable Rate, USBM - 0.08%, 4.26%, due 04/30/24     54,903,482  
    26,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 07/31/24     25,966,855  
     

 

 

 
    Total U.S. Government     214,855,826  
     

 

 

 
          U.S. Government Agency —12.5%      
    5,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.03%, 3.84%, due 12/02/22     4,999,999  
    15,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.03%, 3.84%, due 01/19/23     15,000,014  
    5,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.02%, 3.83%, due 03/15/23     4,999,866  
    20,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.07%, 3.88%, due 05/08/23     20,000,341  
    5,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.03%, 3.84%, due 06/07/23     5,001,216  
     

 

 

 
    Total U.S. Government Agency     50,001,436  
     

 

 

 
          Repurchase Agreements — 34.2%      
    26,962,250     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated, 11/30/22 maturing on 12/01/22 with a maturity value of $26,965,021 and an effective yield of 3.70%, collateralized by a U.S. Treasury Note with maturity date 08/15/23 and a market value of $27,512,500.     26,962,250  
    109,967,638     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated, 11/30/22 maturing on 12/01/22 with a maturity value of $109,979,245 and an effective yield of 3.80%, collateralized by a U.S. Treasury Note with maturity date 04/30/29 and a market value of $112,211,875.     109,967,638  
     

 

 

 
    Total Repurchase Agreements     136,929,888  
     

 

 

 
          Money Market Funds — 0.2%      
    610,440     State Street Institutional Treasury Plus Money Market Fund – Premier Class, 3.70% (a)     610,440  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $403,748,047)
    402,397,590  
     

 

 

 
    TOTAL INVESTMENTS — 100.6%
(Cost $403,748,047)
    402,397,590  
    Other Assets and Liabilities (net) — (0.6)%     (2,321,774
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $400,075,816  
     

 

 

 

 

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, 2022.

The rates shown on variable rate notes are the current interest rates at November 30, 2022, 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, 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, 2022, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties. See Note 4 “Derivative financial instruments” for a further discussion on valuation of derivatives.

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; certain investment funds valued based on monthly net asset value statements; 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, 2022:

 

         
Description   Level 1     Level 2     Level 3     Total  

Asset Allocation Bond Fund

 

Asset Valuation Inputs

 

Debt Obligations

         

U.S. Government

  $ 19,751,369     $     $     $ 19,751,369  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    19,751,369                   19,751,369  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    80,097                   80,097  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    19,831,466                   19,831,466  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 19,831,466     $     $     $ 19,831,466  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Emerging Country Debt Fund

 

Asset Valuation Inputs

 

Debt Obligations

         

Asset-Backed Securities

  $     $ 7,302,703     $     $ 7,302,703  

Corporate Debt

          103,036,817       16,013,004       119,049,821  

Sovereign and Sovereign Agency Issuers

          2,065,992,173       210,981,989       2,276,974,162  

U.S. Government

    23,785,938                   23,785,938  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    23,785,938       2,176,331,693       226,994,993       2,427,112,624  
   

 

 

   

 

 

   

 

 

   

 

 

 

Loan Assignments

                33,814,592       33,814,592  

Loan Participations

                21,807,224       21,807,224  

Investment Funds

                6,753,722       6,753,722  

Mutual Funds

    67,393,959                   67,393,959  

Rights/Warrants

          3,590,974       3,487,531       7,078,505  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    91,179,897       2,179,922,667       292,858,062       2,563,960,626  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          1,123,928             1,123,928  

Options

         

Credit Risk

                232,961       232,961  

Swap Contracts

         

Credit Risk

          29,053,179             29,053,179  

Interest Rate Risk

          4,738,290             4,738,290  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 91,179,897     $ 2,214,838,064     $ 293,091,023     $ 2,599,108,984  
   

 

 

   

 

 

   

 

 

   

 

 

 
 
   

Liability Valuation Inputs

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (3,654,373   $     $ (3,654,373

Swap Contracts

         

Credit Risk

          (2,098,725           (2,098,725

Interest Rate Risk

          (1,667,771           (1,667,771
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (7,420,869   $     $ (7,420,869
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

 

             


         
Description   Level 1     Level 2     Level 3     Total  

High Yield Fund

 

Asset Valuation Inputs

 

Debt Obligations

         

Corporate Debt

  $     $ 35,486,912     $             —     $ 35,486,912  

U.S. Government

    108,237,610                   108,237,610  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    108,237,610       35,486,912             143,724,522  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    20,626,001       135,507,828             156,133,829  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    128,863,611       170,994,740             299,858,351  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Futures Contracts

         

Interest Rate Risk

    106,002                   106,002  

Swap Contracts

         

Credit Risk

          551,892             551,892  

Interest Rate Risk

          5,562,300             5,562,300  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 128,969,613     $ 177,108,932     $     $ 306,078,545  
   

 

 

   

 

 

   

 

 

   

 

 

 
           

Liability Valuation Inputs

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (1,576,232   $     $ (1,576,232

Futures Contracts

         

Interest Rate Risk

    (1,908                 (1,908

Swap Contracts

         

Interest Rate Risk

  $     $ (48,762   $     $ (48,762
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (1,908   $ (1,624,994   $     $ (1,626,902
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

Multi-Sector Fixed Income Fund

 

Asset Valuation Inputs

 

Debt Obligations

         

Asset-Backed Securities

  $     $ 18,696,669     $     $ 18,696,669  

Corporate Debt

          25,345,688             25,345,688  

U.S. Government

    11,646,430                   11,646,430  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    11,646,430       44,042,357             55,688,787  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

    28,486,541                   28,486,541  

Short-Term Investments

    408,212       32,294,854             32,703,066  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    40,541,183       76,337,211             116,878,394  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          827,268             827,268  

Futures Contracts

         

Interest Rate Risk

    158,923                   158,923  

Swap Contracts

         

Interest Rate Risk

          2,806,149             2,806,149  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 40,700,106     $ 79,970,628     $     $ 120,670,734  
   

 

 

   

 

 

   

 

 

   

 

 

 
           

Liability Valuation Inputs

         

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (720,711   $     $ (720,711

Swap Contracts

         

Interest Rate Risk

          (2,435,106           (2,435,106
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (3,155,817   $     $ (3,155,817
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

 

             


         
Description   Level 1     Level 2     Level 3     Total  

Opportunistic Income Fund

 

Asset Valuation Inputs

 

Debt Obligations

         

Asset-Backed Securities

  $     $ 783,680,369     $ 10,696,838     $ 794,377,207  

Corporate Debt

          3,542,767             3,542,767  

U.S. Government

    51,634,344                   51,634,344  

U.S. Government Agency

                6,106,279       6,106,279  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    51,634,344       787,223,136       16,803,117       855,660,597  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

    10,872,546                   10,872,546  

Short-Term Investments

    4,999,999       21,999,790             26,999,789  

Purchased Options

          38,766             38,766  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    67,506,889       809,261,692       16,803,117       893,571,698  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          9,086             9,086  

Futures Contracts

         

Interest Rate Risk

    1,003,242                   1,003,242  

Swap Contracts

         

Credit Risk

          26,914,055             26,914,055  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 68,510,131     $ 836,184,833     $ 16,803,117     $ 921,498,081  
   

 

 

   

 

 

   

 

 

   

 

 

 
   
           

Liability Valuation Inputs

         

Derivatives^

         

Written Options

         

Credit Risk

  $     $ (51,517   $     $ (51,517

Swap Contracts

         

Credit Risk

          (3,795,388           (3,795,388
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $     $ (3,846,905   $     $ (3,846,905
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

U.S. Treasury Fund

 

Asset Valuation Inputs

 

Short-Term Investments

  $ 245,467,361     $ 156,930,229     $     $ 402,397,590  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    245,467,361       156,930,229             402,397,590  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 245,467,361     $ 156,930,229     $     $ 402,397,590  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 

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). Excludes purchased options, if any, which are included in investments.

Emerging Country Debt Fund has committed an additional $6,231,337 to its investment in Bona Fide Investments Feeder LLC, a private investment in a pool of constitutional obligations of the Colombian government owed to individuals.

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, one Colombia Government International Bond, due 2/15/27 which is valued by applying a 150 basis point spread to the yield of the Colombia Government International Bond, due 4/25/27, one Colombia Government International Bond, due 3/09/28 which is valued by applying a 160 basis point spread to the yield of the Colombia Government International Bond, due 4/25/27, Empresa Nacional de Electricidad SA, due 2/01/97 which is valued based on the average of a selection of comparable bonds and applying a 200 basis point discount for liquidity considerations, Meridiam Eastern Europe Investment S.à.r.l. Loan Agreement, due 6/23/28, which is valued based on a more liquid loan participation’s price discounted by 2 points, a Republic of Kenya loan agreement, which is valued by applying 500 basis point yield spread to a comparable bond and an investment fund valued based on a monthly net asset value statement. 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, three asset-backed securities that were valued in line with general movement of spreads, interest rates or a comparable bond and two asset-backed securities priced based on market trades. There were no other Funds with classes of investments or derivatives with direct material Level 3 holdings at November 30, 2022.

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 28,
2022
    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,
2022
    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as of
November 30,
2022
 

Emerging Country Debt Fund

 

         

Debt Obligations

 

                   

Corporate Debt

  $ 20,629,398     $     $ (2,912,700   $ (1,347   $ (1,455,716   $ (246,631   $     $     $ 16,013,004     $ (246,631

Sovereign and Sovereign Agency Issuers

    272,728,861       2,104,750       (62,959,666     14,361,413       (54,945,303     39,691,934                   210,981,989       10,894,659  

Investment Funds

    7,850,000             (1,506,392           28,237       381,877                   6,753,722       381,877  

Loan Assignments

    53,869,474             (17,176,159     1,534,730       (1,783,693     (2,629,760                 33,814,592       (2,629,760

Loan Participation

    43,258,898             (18,200,594     1,185,898       557,222       (4,994,200                 21,807,224       (3,974,696

Rights/Warrants

    2,194,666             (726,253           (508,860     2,527,978                   3,487,531       2,527,978  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    400,531,297       2,104,750       (103,481,764     17,080,694       (58,108,113     34,731,198                   292,858,062       6,953,427  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives

                     

Options

    326,111                         (324,033     230,883                   232,961       230,883  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 400,857,408     $ 2,104,750     $ (103,481,764 )#    $ 17,080,694     $ (58,432,146   $ 34,962,081     $     $     $ 293,091,023     $ 7,184,310  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 

Opportunistic Income Fund

 

                 

Debt Obligations

 

                   

Asset-Backed Securities

  $ 12,356,438     $     $ (1,134,000   $ 195,254     $     $ (720,854   $     $     $ 10,696,838     $ (720,854

U.S. Government Agency

    7,640,437             (1,592,928     17,218             41,552                   6,106,279       41,552  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 19,996,875     $     $ (2,726,928 )##    $ 212,472     $     $ (679,302   $     $     $ 16,803,117     $ (679,302
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 

 

             


  #

Includes $19,154,053 of proceeds received from partial calls and/or principal paydowns as applicable.

  ##

Includes $2,726,929 of proceeds received from partial calls and/or principal paydowns as applicable.

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, 2022 for Funds with material Level 3 investments.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type   Total
Fair Value ($)
    Valuation
Methodology
  Unobservable Inputs   Range (Weighted
Average)
Emerging Country Debt Fund                    

Sovereign and Sovereign Agency Issuers

    39,278,623     Fair Value   Discount for lack of liquidity/marketability   1.40%-1.60% (1.42%)

Corporate Debt

    16,013,004     Fair Value   Discount for lack of liquidity/marketability   2.00% (N/A)

Loan Assignments and Participations

    2,252,731     Fair Value   Discount for lack of liquidity/marketability   5.00%-6.00% (5.00%)

Loan Assignments and Participations

    19,771,029     Fair Value   Discount for lack of liquidity/marketability   $2.00 (N/A)

Warrants

    27,600     Fair Value   Discount for lack of liquidity/marketability   50% (N/A)

Options

    232,961     Fair Value   Probability of CDS threshold event   <5% (N/A)

Investment Funds

    6,753,722     Fair Value   Net asset value statement   (N/A)
Opportunistic Income Fund                    

Asset-Backed Securities

    10,620,838     Fair Value   Broker mark of comparable bond   N/A

Government Agency

    6,106,279     Fair Value   Discount for lack of liquidity/marketability   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, 2022, the value of these securities and/or derivatives for Emerging Country Debt Fund and Opportunistic Income Fund was $208,761,353 and $76,000, 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, 2022 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

  $ 11,626     $ 56     $ 11,636     $ 56     $     $ (93   $ 47     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Emerging Country Debt Fund  

GMO U.S. Treasury Fund

  $ 74,339,103     $     $ 6,500,000     $ 1,040,564     $     $ (35,403   $ (409,741   $ 67,393,959  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Multi-Sector Fixed Income Fund  

GMO Emerging Country Debt Fund, Class VI

  $ 6,291,438     $     $ 1,000,000     $ 125,748     $     $ (409,719   $ (162,444   $ 4,719,275  

GMO Opportunistic Income Fund, Class VI

    25,924,702             1,000,000       184,153       357,581       (34,894     (1,122,542     23,767,266  

GMO U.S. Treasury Fund

    2,399,326             2,399,326       854             (9,578     9,578        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Totals

  $ 34,615,466     $     $ 4,399,326     $ 310,755     $ 357,581     $ (454,191   $ (1,275,408   $ 28,486,541  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 
Opportunistic Income Fund  

GMO U.S. Treasury Fund

  $ 10,938,043     $     $     $ 153,633     $     $     $ (65,497   $ 10,872,546  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                 

 

  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2022 through November 30, 2022. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2023.

* * *

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, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
    COMMON STOCKS — 61.1%

 

          Australia — 0.9%      
    26,848     Aurizon Holdings Ltd (a)     69,780  
    26,459     BlueScope Steel Ltd (a)     318,908  
    34,350     Brambles Ltd (a)     284,138  
    21,180     Fortescue Metals Group Ltd (a)     281,899  
    47,960     GPT Group (The) (REIT) (a)     147,858  
    128,580     Mirvac Group (REIT) (a)     197,308  
    348     Rio Tinto Ltd (a)     25,980  
    71,129     Scentre Group (REIT) (a)     145,081  
    75,217     Stockland (REIT) (a)     196,382  
     

 

 

 
    Total Australia     1,667,334  
     

 

 

 
          Belgium — 0.4%      
    7,337     Ageas SA/NV (a)     297,089  
    730     Sofina SA (a)     158,901  
    3,996     UCB SA (a)     322,543  
     

 

 

 
    Total Belgium     778,533  
     

 

 

 
          Brazil — 0.1%      
    9,500     Banco do Brasil SA     64,586  
    10,600     Petroleo Brasileiro SA Sponsored ADR (a)     123,914  
    11,200     Telefonica Brasil SA ADR (a)     81,872  
     

 

 

 
    Total Brazil     270,372  
     

 

 

 
          Canada — 2.7%      
    3,200     Alimentation Couche-Tard Inc (a)     145,780  
    8,500     BlackBerry Ltd * (a)     41,395  
    2,500     Canadian Apartment Properties (REIT) (a)     81,218  
    2,500     Canadian Tire Corp Ltd – Class A (a)     283,128  
    100     Fairfax Financial Holdings Ltd (a)     57,375  
    800     iA Financial Corp Inc (a)     45,134  
    5,200     Magna International Inc     320,199  
    12,100     Manulife Financial Corp (a) (b)     218,163  
    10,600     Manulife Financial Corp (a) (b)     190,936  
    3,200     Onex Corp (a)     168,642  
    1,400     Power Corp of Canada (a)     35,220  
    9,800     Quebecor Inc – Class B (a)     211,205  
    83,370     Shaw Communications Inc – Class B (a)     2,275,220  
    7,900     Teck Resources Ltd – Class B * (a) (b)     292,825  
    3,500     Teck Resources Ltd – Class B (a) (b)     129,815  
    3,900     West Fraser Timber Co Ltd (a) (b)     305,065  
    900     West Fraser Timber Co Ltd (a) (b)     70,533  
     

 

 

 
    Total Canada     4,871,853  
     

 

 

 
          China — 0.7%      
    154,000     Bank of Communications Co Ltd – Class H     87,257  
    21,500     Beijing Enterprises Holdings Ltd     68,379  
    22,500     China Conch Venture Holdings Ltd     51,490  
    43,500     China Overseas Land & Investment Ltd     118,865  
    212,000     China Railway Group Ltd – Class H     119,663  
         
Shares
    Description   Value ($)  
          China — continued      
    308,000     China Zhongwang Holdings Ltd * (c)     66,245  
    146,000     CITIC Ltd     149,675  
    80,000     Dongfeng Motor Group Co Ltd – Class H     45,068  
    17,500     Kingboard Holdings Ltd     57,933  
    21,400     Shanghai Pharmaceuticals Holding Co Ltd – Class H     35,684  
    239,500     Shimao Group Holdings Ltd * (c)     135,527  
    21,600     Sinopharm Group Co Ltd – Class H     51,244  
    374,000     Sunac China Holdings Ltd * (c)     219,297  
    4,200     Vipshop Holdings Ltd ADR * (a)     46,830  
     

 

 

 
    Total China     1,253,157  
     

 

 

 
          Denmark — 0.6%      
    61     AP Moller – Maersk A/S – Class A (a)     129,507  
    53     AP Moller – Maersk A/S – Class B (a)     114,902  
    23,414     Danske Bank A/S (a)     421,641  
    1,492     GN Store Nord A/S (a)     36,046  
    4,159     Pandora A/S     316,628  
    72     Rockwool A/S – B Shares (a)     15,810  
     

 

 

 
    Total Denmark     1,034,534  
     

 

 

 
          Finland — 0.2%      
    71,627     Nokia Oyj (a)     352,899  
     

 

 

 
          France — 0.6%      
    11,613     ArcelorMittal SA     318,418  
    5,142     BNP Paribas SA (a)     288,939  
    496     Cie de Saint-Gobain (a)     22,872  
    2,417     Publicis Groupe SA (a)     159,078  
    11,937     Societe Generale SA (a)     300,443  
     

 

 

 
    Total France     1,089,750  
     

 

 

 
          Germany — 0.5%      
    2,582     Bayerische Motoren Werke AG (a)     234,442  
    3,994     Fresenius SE & Co KGaA (a)     111,284  
    4,275     HeidelbergCement AG (a)     234,393  
    5,466     Mercedes-Benz Group AG (a)     371,377  
     

 

 

 
    Total Germany     951,496  
     

 

 

 
          India — 0.6%      
    77,235     GAIL India Ltd     90,493  
    5,934     Hindalco Industries Ltd     33,227  
    30,419     Hindustan Petroleum Corp Ltd     89,886  
    56,680     Indian Oil Corp Ltd     53,773  
    73,456     NTPC Ltd     155,732  
    189,372     Oil & Natural Gas Corp Ltd     331,457  
    221,209     Tata Steel Ltd     295,824  
     

 

 

 
    Total India     1,050,392  
     

 

 

 
          Israel — 1.2%      
    36,500     Teva Pharmaceutical Industries Ltd Sponsored ADR * (a)     320,105  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Israel — continued      
    37,547     Tower Semiconductor Ltd *     1,673,470  
    11,100     ZIM Integrated Shipping Services Ltd     233,322  
     

 

 

 
    Total Israel     2,226,897  
     

 

 

 
          Italy — 0.3%      
    22,406     Stellantis NV (a)     353,465  
    873,685     Telecom Italia SPA * (a)     190,613  
     

 

 

 
    Total Italy     544,078  
     

 

 

 
          Japan — 8.5%      
    22,100     Aeon Mall Co Ltd     266,899  
    2,600     AGC Inc (a)     87,805  
    3,600     Aisin Corp     99,215  
    12,400     Amano Corp     225,100  
    42,600     Asahi Kasei Corp (a)     316,617  
    11,000     Credit Saison Co Ltd (a)     141,030  
    3,800     Daiwa House Industry Co Ltd (a)     87,510  
    17,900     Daiwabo Holdings Co Ltd     285,583  
    11,900     Denka Co Ltd     288,126  
    20,100     EXEO Group Inc (a)     311,995  
    7,400     Ezaki Glico Co Ltd (a)     193,092  
    17,200     Fuji Corp (a)     262,426  
    2,700     FUJIFILM Holdings Corp (a)     145,239  
    11,700     H.U. Group Holdings Inc (a)     237,301  
    17,500     Haseko Corp (a)     193,506  
    27,600     Honda Motor Co Ltd (a)     672,656  
    2,100     Honda Motor Co Ltd Sponsored ADR (a)     51,450  
    4,200     Idemitsu Kosan Co Ltd (a)     98,631  
    31,300     Inpex Corp (a)     344,914  
    10,600     ITOCHU Corp (a)     332,915  
    6,200     KDDI Corp (a)     184,416  
    18,900     Kirin Holdings Co Ltd (a)     298,348  
    22,600     K’s Holdings Corp (a)     187,651  
    12,100     Kyudenko Corp (a)     291,118  
    9,500     Maruichi Steel Tube Ltd     197,595  
    9,800     Mitsubishi Corp (a)     330,056  
    2,100     Mitsubishi Electric Corp (a)     21,046  
    14,000     Mitsui OSK Lines Ltd (a)     346,757  
    7,100     Morinaga & Co Ltd (a)     191,279  
    7,900     MS&AD Insurance Group Holdings Inc (a)     234,482  
    8,600     NEC Corp (a)     306,165  
    10,600     NH Foods Ltd (a)     285,395  
    9,500     Nippon Telegraph & Telephone Corp (a)     263,425  
    15,200     Nippon Yusen KK (a)     338,343  
    42,200     Obayashi Corp (a)     315,490  
    2,200     ORIX Corp (a)     35,645  
    49,200     Penta-Ocean Construction Co Ltd (a)     232,837  
    3,900     Renesas Electronics Corp * (a)     38,250  
    3,300     Rohm Co Ltd (a)     264,895  
    9,000     Sankyu Inc (a)     325,708  
    3,300     Sawai Group Holdings Co Ltd (a)     102,182  
    4,500     Secom Co Ltd (a)     278,213  
         
Shares
    Description   Value ($)  
          Japan — continued      
    21,100     Sekisui House Ltd (a)     395,069  
    33,900     Shimizu Corp (a)     182,773  
    17,600     Stanley Electric Co Ltd     361,884  
    8,000     Subaru Corp     137,023  
    18,500     SUMCO Corp (a)     276,788  
    60,300     Sumitomo Chemical Co Ltd (a)     219,844  
    20,600     Sumitomo Corp (a)     337,722  
    10,700     Sumitomo Mitsui Financial Group Inc (a)     363,166  
    8,900     Sumitomo Mitsui Trust Holdings Inc (a)     285,429  
    29,300     T&D Holdings Inc (a)     356,210  
    9,500     Taisei Corp (a)     288,792  
    5,900     Takara Holdings Inc (a)     46,140  
    19,200     Takuma Co Ltd     179,441  
    25,100     Teijin Ltd     243,546  
    13,000     THK Co Ltd (a)     256,430  
    33,800     Tokai Carbon Co Ltd     260,803  
    7,900     Tokyo Seimitsu Co Ltd (a)     253,158  
    15,700     Toppan Inc (a)     244,545  
    14,600     Tosoh Corp (a)     173,346  
    6,000     Toyota Industries Corp (a)     344,203  
    11,700     Tsumura & Co     256,397  
    6,200     Yamaha Motor Co Ltd     155,309  
    5,700     Zenkoku Hosho Co Ltd (a)     212,234  
     

 

 

 
    Total Japan     15,541,558  
     

 

 

 
          Netherlands — 1.1%      
    72,184     Aegon NV (a)     353,879  
    3,938     EXOR NV * (a)     309,133  
    9,170     JDE Peet’s NV (a)     284,060  
    10,452     Koninklijke Ahold Delhaize NV (a)     304,593  
    19,425     Koninklijke Philips NV (a)     291,076  
    6,387     NN Group NV (a)     272,958  
    4,492     Prosus NV *     293,951  
     

 

 

 
    Total Netherlands     2,109,650  
     

 

 

 
          New Zealand — 0.1%      
    15,249     Auckland International Airport Ltd * (a)     77,715  
    23,340     Meridian Energy Ltd (a)     72,442  
     

 

 

 
    Total New Zealand     150,157  
     

 

 

 
          Poland — 0.0%      
    880     Polski Koncern Naftowy ORLEN SA     12,953  
     

 

 

 
          Portugal — 0.1%      
    38,712     EDP – Energias de Portugal SA     183,690  
     

 

 

 
          South Africa — 0.1%      
    12,999     Bidvest Group Ltd (The)     174,814  
     

 

 

 
          South Korea — 0.5%      
    4,998     Kia Corp     263,214  
    1,766     LG Corp     113,890  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          South Korea — continued      
    473     LG Electronics Inc     35,693  
    162     POSCO Holdings Inc     37,082  
    4,200     POSCO Holdings Inc Sponsored ADR (a)     239,652  
    60     Samsung Electronics Co Ltd GDR (Registered) (a)     71,271  
    4,827     SK Square Co Ltd *     139,851  
     

 

 

 
    Total South Korea     900,653  
     

 

 

 
          Spain — 0.5%      
    69,424     Banco Bilbao Vizcaya Argentaria SA (a)     409,119  
    110,304     Banco Santander SA (a)     329,129  
    23,285     Telefonica SA (a)     86,915  
     

 

 

 
    Total Spain     825,163  
     

 

 

 
          Sweden — 0.5%      
    18,459     Fastighets AB Balder – B Shares * (a)     82,983  
    2,233     Industrivarden AB – A Shares (a)     57,629  
    6,997     Industrivarden AB – C Shares (a)     179,240  
    7,324     Investor AB – A Shares (a)     141,021  
    5,594     Investor AB – B Shares (a)     104,109  
    11,059     Kinnevik AB – Class B * (a)     170,473  
    7,327     Skanska AB – B Shares (a)     119,279  
    3,739     Svenska Cellulosa AB SCA – Class B (a)     50,838  
    4,729     Telefonaktiebolaget LM Ericsson – B Shares (a)     29,848  
     

 

 

 
    Total Sweden     935,420  
     

 

 

 
          Switzerland — 0.5%      
    9,748     Adecco Group AG (Registered) (a)     331,399  
    6,104     Logitech International SA (Registered) (a)     370,070  
    927     Roche Holding AG – Genusschein (a)     302,780  
     

 

 

 
    Total Switzerland     1,004,249  
     

 

 

 
          Taiwan — 2.2%      
    35,000     Ruentex Development Co Ltd     52,834  
    62,623     Silicon Motion Technology Corp ADR (a)     3,951,511  
     

 

 

 
    Total Taiwan     4,004,345  
     

 

 

 
          Thailand — 0.1%      
    21,600     Kasikornbank Pcl NVDR     89,005  
    248,800     Krung Thai Bank Pcl NVDR     124,857  
    7,600     Thai Oil Pcl NVDR     12,012  
     

 

 

 
    Total Thailand     225,874  
     

 

 

 
          Turkey — 0.1%      
    75,776     Akbank TAS     70,880  
    28,295     Haci Omer Sabanci Holding AS     64,356  
    48,687     Turkiye Is Bankasi AS – Class C     27,400  
     

 

 

 
    Total Turkey     162,636  
     

 

 

 
         
Shares
    Description   Value ($)  
          United Kingdom — 0.8%      
    6,320     Berkeley Group Holdings Plc     293,081  
    174,016     BT Group Plc (a)     256,067  
    4,965     Coca-Cola HBC AG * (a)     121,448  
    3,500     Haleon Plc ADR * (a)     24,115  
    68,574     Kingfisher Plc (a)     200,538  
    104,615     M&G Plc (a)     244,452  
    95,202     Taylor Wimpey Plc (a)     119,995  
    18,600     Vodafone Group Plc Sponsored ADR (a)     208,878  
    1,827     WPP Plc (a)     19,201  
     

 

 

 
    Total United Kingdom     1,487,775  
     

 

 

 
          United States — 37.2%      
    59,393     1Life Healthcare, Inc. * (a)     1,009,087  
    500     3M Co. (a)     62,985  
    72,079     Activision Blizzard, Inc. (a)     5,330,242  
    2,900     Aflac, Inc. (a)     208,597  
    9,400     Ally Financial, Inc. (a)     253,894  
    5,200     AppLovin Corp. – Class A * (a)     74,932  
    3,400     Arrow Electronics, Inc. *     369,716  
    11,000     AT&T, Inc. (a)     212,080  
    4,200     Best Buy Co., Inc. (a)     358,260  
    1,000     Biogen, Inc. * (a)     305,170  
    700     Bio-Rad Laboratories, Inc. – Class A * (a)     290,297  
    33,924     Black Knight, Inc. * (a)     2,102,949  
    8,400     BorgWarner, Inc.     357,084  
    3,000     Capital One Financial Corp. (a)     309,720  
    8,100     Carrier Global Corp. (a)     358,992  
    3,400     CBRE Group, Inc. – Class A * (a)     270,640  
    4,700     Centene Corp. * (a)     409,135  
    500     Cigna Corp. (a)     164,445  
    6,700     Citigroup, Inc. (a)     324,347  
    16,800     Cleveland-Cliffs, Inc. * (a)     260,064  
    4,800     Cognizant Technology Solutions Corp. – Class A (a)     298,608  
    10,200     Comcast Corp. – Class A (a)     373,728  
    38,927     Cowen, Inc. – Class A (a)     1,504,918  
    2,300     CVS Health Corp. (a)     234,324  
    8,000     Dell Technologies, Inc. – Class C (a)     358,320  
    2,500     Discover Financial Services (a)     270,900  
    19,700     DISH Network Corp. – Class A * (a)     316,185  
    4,300     DR Horton, Inc. (a)     369,800  
    7,100     eBay, Inc. (a)     322,624  
    6,700     Exelon Corp. (a)     277,179  
    1,800     FedEx Corp. (a)     327,996  
    7,400     Fidelity National Financial, Inc. (a)     298,664  
    33,953     First Horizon Corp. (a)     843,732  
    22,525     Flagstar Bancorp, Inc.     845,589  
    21,800     Ford Motor Co. (a)     303,020  
    18,875     ForgeRock, Inc. – Class A *     410,531  
    4,200     Fortune Brands Home & Security, Inc. (a)     274,428  
    12,900     Fox Corp. – Class B (a)     393,708  
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United States — continued      
    12,000     Franklin Resources, Inc. (a)     321,720  
    500     Garmin Ltd. (a)     46,495  
    7,900     General Motors Co.     320,424  
    1,200     Gilead Sciences, Inc. (a)     105,396  
    300     Goldman Sachs Group, Inc. (The) (a)     115,845  
    7,008     HEICO Corp. – Class A (a)     888,474  
    1,000     Henry Schein, Inc. * (a)     80,920  
    10,600     HP, Inc. (a)     318,424  
    5,300     IAC, Inc. * (a)     275,017  
    4,400     Incyte Corp. * (a)     350,548  
    11,500     Intel Corp. (a)     345,805  
    2,700     International Business Machines Corp. (a)     402,030  
    13,100     Invesco Ltd. (a)     250,341  
    2,500     Jazz Pharmaceuticals Plc * (a)     392,275  
    20,200     Kinder Morgan, Inc. (a)     386,224  
    3,200     Knight-Swift Transportation Holdings, Inc. (a)     177,376  
    7,100     Kraft Heinz Co. (The) (a)     279,385  
    1,600     Kroger Co. (The) (a)     78,704  
    1,300     Laboratory Corp. of America Holdings (a)     312,910  
    4,200     Lennar Corp. – Class A (a)     368,886  
    43,785     Liberty Broadband Corp. – Class C * (a)     3,978,305  
    104,863     Liberty Global Plc – Class A * (a)     2,105,649  
    5,900     Liberty Global Plc – Class C *     122,012  
    7,919     Liberty Media Corp.-Liberty Formula One – Class A * (a)     435,307  
    6,800     Lincoln National Corp.     264,792  
    37,500     Lumen Technologies, Inc. (a)     205,125  
    3,900     LyondellBasell Industries NV – Class A (a)     331,539  
    2,000     Match Group, Inc. * (a)     101,120  
    3,000     Meta Platforms, Inc. – Class A * (a)     354,300  
    1,600     MetLife, Inc. (a)     122,720  
    4,900     Micron Technology, Inc. (a)     282,485  
    2,800     Mohawk Industries, Inc. *     283,724  
    6,300     Molson Coors Brewing Co. – Class B (a)     347,193  
    3,900     Mosaic Co. (The) (a)     200,070  
    7,000     NRG Energy, Inc. (a)     297,150  
    2,300     Nucor Corp. (a)     344,885  
    10     NVR, Inc. * (a)     46,390  
    2,400     Occidental Petroleum Corp. (a)     166,776  
    3,200     Oracle Corp. (a)     265,696  
    700     PACCAR, Inc. (a)     74,137  
    14,800     Paramount Global – Class B (a)     297,184  
    3,800     PayPal Holdings, Inc. * (a)     297,958  
    153,945     Pershing Square Tontine Holdings Ltd. * (c)     15,395  
    3,200     Pfizer, Inc. (a)     160,416  
    71,867     PNM Resources, Inc. (a)     3,521,483  
    3,200     Prudential Financial, Inc. (a)     345,696  
    7,400     PulteGroup, Inc. (a)     331,372  
    500     Regeneron Pharmaceuticals, Inc. * (a)     375,850  
    136,355     Resolute Forest Products, Inc. *     2,877,090  
    11,363     Rogers Corp. *     1,239,022  
    41,502     Signify Health, Inc. – Class A * (a)     1,187,787  
    1,500     Skyworks Solutions, Inc. (a)     143,430  
         
Shares
    Description   Value ($)  
          United States — continued      
    55,366     South Jersey Industries, Inc. (a)     1,921,200  
    41,973     Sportsman’s Warehouse Holdings, Inc. *     412,175  
    1,700     SS&C Technologies Holdings, Inc. (a)     91,392  
    200     Stanley Black & Decker, Inc. (a)     16,344  
    3,500     Steel Dynamics, Inc. (a)     363,755  
    71,267     STORE Capital Corp. (REIT) (a)     2,273,417  
    78,103     Switch, Inc. – Class A (a)     2,675,028  
    8,100     Synchrony Financial (a)     304,398  
    210,835     TEGNA, Inc. (a)     4,161,883  
    3,100     Textron, Inc. (a)     221,278  
    4,300     Tyson Foods, Inc. – Class A (a)     285,004  
    82,767     Umpqua Holdings Corp. (a)     1,677,687  
    100     United Parcel Service, Inc. – Class B (a)     18,973  
    3,000     Universal Health Services, Inc. – Class B (a)     392,550  
    7,000     Verizon Communications, Inc. (a)     272,860  
    900     Vertex Pharmaceuticals, Inc. * (a)     284,760  
    31,800     Viatris, Inc. (a)     350,754  
    24,445     VMware, Inc. – Class A * (a)     2,969,823  
    7,800     Walgreens Boots Alliance, Inc. (a)     323,700  
    3,943     Warner Bros Discovery, Inc. * (a)     44,950  
    19,700     Western Union Co. (The) (a)     288,802  
    6,500     Western Digital Corp. * (a)     238,875  
    2,300     Westlake Corp. (a)     247,595  
    1,900     Whirlpool Corp. (a)     278,407  
    24,954     Zogenix, Inc. * (c)     18,716  
    3,300     Zoom Video Communications, Inc. – Class A * (a)     248,919  
     

 

 

 
    Total United States     68,379,392  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $122,212,245)
    112,189,624  
     

 

 

 
          PREFERRED STOCKS (d) — 0.3%  
          Brazil — 0.1%  
    19,700     Petroleo Brasileiro SA Sponsored ADR (a)     201,925  
     

 

 

 
          Germany — 0.2%      
    2,200     Bayerische Motoren Werke AG (a)     190,902  
    1,214     Volkswagen AG (a)     179,321  
     

 

 

 
    Total Germany     370,223  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $540,915)
    572,148  
     

 

 

 
          RIGHTS/WARRANTS — 0.2%  
          United States — 0.2%  
    195,149     Bristol-Myers Squibb Co. CVR * (c)     361,026  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $284,429)
    361,026  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    

Shares/

Par Value†

    Description   Value ($)  
          INVESTMENT FUNDS — 2.1%  
          United States — 2.1%  
    1,000,824     Altaba, Inc. (c)     3,753,090  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $3,301,440)
    3,753,090  
     

 

 

 
          DEBT OBLIGATIONS — 36.2%      
          United States — 36.2%      
          Asset-Backed Securities — 2.9%      
    5,418,616     OZLM VI Ltd, Series 14-6A, Class A1S, Variable Rate, 3 mo. LIBOR + 1.08%, 5.16%, due 04/17/31     5,290,205  
     

 

 

 
          U.S. Government — 23.5%      
    3,000,000     U.S. Treasury Note, Variable Rate, USBM  
    + 0.05%, 4.38%, due 01/31/23     3,001,469  
    15,000,000     U.S. Treasury Note, 0.13%, due 02/28/23     14,842,825  
    6,025,000     U.S. Treasury Note, 0.13%, due 04/30/23 (a)     5,912,737  
    5,050,000     U.S. Treasury Note, 0.13%, due 06/30/23 (a)     4,916,057  
    400,000     U.S. Treasury Note, 0.13%, due 07/31/23     387,953  
    3,500,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 10/31/23     3,502,630  
    10,650,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 07/31/24 (a)     10,636,424  
     

 

 

 
    Total U.S. Government     43,200,095  
     

 

 

 
          U.S. Government Agency — 9.8%      
    13,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.03%, 3.84%, due 03/02/23     13,000,599  
    5,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.07%, 3.88%, due 12/14/23     5,000,562  
     

 

 

 
    Total U.S. Government Agency     18,001,161  
     

 

 

 
    Total United States     66,491,461  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $66,844,966)
    66,491,461  
     

 

 

 
     Shares/
Par Value†
    Description   Value ($)  
    MUTUAL FUNDS — 3.3%  
          United States — 3.3%      
          Affiliated Issuers — 3.3%      
    431,379     GMO Emerging Markets ex-China Fund, Class VI     6,056,565  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $6,060,879)
    6,056,565  
     

 

 

 
          SHORT-TERM INVESTMENTS — 21.6%  
          Sovereign and Sovereign Agency
Issuers — 8.6%
     

JPY

    2,185,000,000     Japan Treasury Discount Bill, Zero Coupon, due 01/11/23     15,825,432  
     

 

 

 
          Money Market Funds — 0.1%      
    198,565     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (e)     198,565  
     

 

 

 
          Repurchase Agreements — 2.2%      
    3,976,963     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 11/30/22, maturing on 12/01/22 with a maturity value of $3,977,383 and an effective yield of 3.80%, collateralized by a U.S. Treasury Note with maturity date 04/30/29 and a market value of $4,058,125.     3,976,963  
     

 

 

 
          U.S. Government — 10.7%      
    19,900,000     U.S. Treasury Bill, 4.17%, due 02/23/23 (f)     19,708,433  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $38,917,864)
    39,709,393  
     

 

 

 
 

 

PURCHASED OPTIONS — 0.0%

 

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

Equity Options – Puts – 0.0%

 

          

Continental Resources, Inc.

           70.00          12/16/22      244     USD 1,812,310        1,220  
                     

 

 

 

 

Description    Counterparty    Exercise
Rate
    Expiration
Date
     Principal/
Notional
Amount
     Floating Rate
Index
  Pay/Receive
Floating Rate
     Value ($)  

Options on Credit Default Swaps – Puts – 0.0%

 

         

CDX.NA.IG.S39

   DB      85.00     12/21/22      USD     20,010,000      Fixed Spread     Pay        10,366  
                    

 

 

 
   TOTAL PURCHASED OPTIONS
(COST $56,474)
       11,586  
                    

 

 

 
   TOTAL INVESTMENTS — 124.8%
(Cost $238,219,212)
       229,144,893  
                    

 

 

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
    SECURITIES SOLD SHORT — (32.0)%  
          Common Stocks — (31.8)%      
          Australia — (0.6)%      
    (5,348   ASX Ltd     (257,794
    (1,304   Cochlear Ltd     (191,790
    (501   Domino’s Pizza Enterprises Ltd     (22,946
    (7,891   IDP Education Ltd     (162,463
    (74,058   Qantas Airways Ltd *     (318,052
    (2,477   Ramsay Health Care Ltd     (111,477
     

 

 

 
    Total Australia     (1,064,522
     

 

 

 
          Austria — (0.2)%      
    (3,788   Verbund AG     (342,903
     

 

 

 
          Belgium — (0.2)%      
    (5,656   Anheuser-Busch InBev SA/NV     (333,565
     

 

 

 
          Canada — (1.5)%      
    (4,100   Agnico Eagle Mines Ltd     (206,517
    (16,100   Algonquin Power & Utilities Corp     (121,555
    (15,200   AltaGas Ltd     (255,038
    (2,600   BCE Inc     (123,864
    (7,100   Brookfield Renewable Corp – Class A     (231,531
    (7,900   Enbridge Inc     (326,191
    (2,500   Franco-Nevada Corp     (365,300
    (17,500   Pan American Silver Corp     (286,825
    (10,800   Pembina Pipeline Corp     (393,984
    (5,600   Restaurant Brands International Inc     (371,560
    (2,200   Ritchie Bros Auctioneers Inc     (120,670
     

 

 

 
    Total Canada     (2,803,035
     

 

 

 
          Denmark — (0.1)%      
    (323   Coloplast A/S – Class B     (38,184
    (4,886   Tryg A/S     (113,678
     

 

 

 
    Total Denmark     (151,862
     

 

 

 
          Finland — (0.0)%      
    (1,020   Elisa Oyj     (53,058
     

 

 

 
          France — (0.9)%      
    (10,681   Accor SA *     (281,339
    (1,851   Aeroports de Paris *     (285,309
    (527   Euronext NV     (40,315
    (20,306   Getlink SE     (335,564
    (242   Hermes International     (393,317
    (313   Sartorius Stedim Biotech     (106,828
    (1,409   Ubisoft Entertainment SA *     (39,196
    (1,369   Wendel SE     (127,473
     

 

 

 
    Total France     (1,609,341
     

 

 

 
          Germany — (1.0)%      
    (7,480   Delivery Hero SE *     (327,420
         
Shares
    Description   Value ($)  
          Germany — continued      
    (1,632   Deutsche Boerse AG     (299,920
    (638   MTU Aero Engines AG     (134,531
    (219   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Registered)     (69,172
    (2,065   Puma SE     (106,871
    (822   QIAGEN NV *     (41,038
    (274   Rational AG     (172,155
    (511   Scout24 SE     (28,048
    (2,908   Symrise AG – Class A     (333,515
    (98,860   Telefonica Deutschland Holding AG     (236,448
    (2,391   Zalando SE *     (75,204
     

 

 

 
    Total Germany     (1,824,322
     

 

 

 
          Ireland — (0.0)%      
    (339   Flutter Entertainment Plc *     (50,476
     

 

 

 
          Israel — (0.2)%      
    (2,200   CyberArk Software Ltd *     (327,954
    (800   Wix.com Ltd *     (72,392
     

 

 

 
    Total Israel     (400,346
     

 

 

 
          Italy — (0.8)%      
    (9,432   Amplifon SPA     (267,181
    (1,437   Ferrari NV (b)     (320,741
    (600   Ferrari NV (b)     (133,830
    (25,684   FinecoBank Banca Fineco SPA     (417,152
    (26,970   Infrastrutture Wireless Italiane SPA     (268,993
     

 

 

 
    Total Italy     (1,407,897
     

 

 

 
          Japan — (2.8)%      
    (10,200   Aeon Co Ltd     (210,505
    (15,700   ANA Holdings Inc *     (338,050
    (11,000   Asahi Intecc Co Ltd     (196,909
    (100   Fast Retailing Co Ltd     (59,464
    (3,500   GMO Payment Gateway Inc     (316,887
    (17,200   Japan Airlines Co Ltd *     (343,814
    (6,200   Japan Exchange Group Inc     (89,771
    (5,600   Keio Corp     (209,791
    (2,700   Keisei Electric Railway Co Ltd     (77,351
    (1,800   Kintetsu Group Holdings Co Ltd     (64,334
    (1,700   Lasertec Corp     (320,453
    (10,600   M3 Inc     (332,445
    (20,300   MonotaRO Co Ltd     (351,196
    (3,500   Nidec Corp     (220,404
    (15,600   Nihon M&A Center Holdings Inc     (213,574
    (26,800   Nippon Paint Holdings Co Ltd     (221,951
    (1,300   Nissin Foods Holdings Co Ltd     (99,066
    (14,100   Odakyu Electric Railway Co Ltd     (186,126
    (2,200   Oriental Land Co Ltd     (318,011
    (60,400   Rakuten Group Inc     (290,196
    (3,700   Shiseido Co Ltd     (158,027
    (5,000   Tobu Railway Co Ltd     (120,707
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          Japan — continued      
    (13,700   Tokyu Corp     (174,964
    (6,100   West Japan Railway Co     (259,858
     

 

 

 
    Total Japan     (5,173,854
     

 

 

 
          Netherlands — (0.6)%      
    (218   Adyen NV *     (343,420
    (1,783   IMCD NV     (263,713
    (8,366   Just Eat Takeaway.com NV *     (193,825
    (746   OCI NV     (31,581
    (14,316   Universal Music Group NV     (340,445
     

 

 

 
    Total Netherlands     (1,172,984
     

 

 

 
          New Zealand — (0.1)%      
    (5,479   Xero Ltd *     (272,280
     

 

 

 
          Norway — (0.2)%      
    (8,389   Aker BP ASA     (291,855
     

 

 

 
          Peru — (0.2)%      
    (6,100   Southern Copper Corp     (372,222
     

 

 

 
          Singapore — (0.2)%      
    (22,100   Grab Holdings Ltd – Class A *     (66,742
    (30,200   Singapore Airlines Ltd     (122,523
    (28,300   Singapore Exchange Ltd     (189,423
     

 

 

 
    Total Singapore     (378,688
     

 

 

 
          Spain — (0.4)%      
    (8,628   Cellnex Telecom SA     (296,704
    (15,284   Ferrovial SA     (411,015
     

 

 

 
    Total Spain     (707,719
     

 

 

 
          Sweden — (0.2)%      
    (3,168   Evolution AB     (326,317
     

 

 

 
          Switzerland — (0.4)%      
    (6   Chocoladefabriken Lindt & Spruengli AG     (63,116
    (282   Partners Group Holding AG     (280,976
    (408   Sika AG (Registered)     (104,269
    (2,239   Straumann Holding AG (Registered)     (261,317
     

 

 

 
    Total Switzerland     (709,678
     

 

 

 
          United Kingdom — (1.3)%      
    (3,262   Admiral Group Plc     (79,749
    (36,828   Auto Trader Group Plc     (254,235
    (81   Croda International Plc     (6,698
    (3,877   Halma Plc     (102,843
    (18,955   Hargreaves Lansdown Plc     (195,302
    (55,173   Informa Plc     (413,759
    (4,001   InterContinental Hotels Group Plc     (232,871
    (4,008   London Stock Exchange Group Plc     (401,343
         
Shares
    Description   Value ($)  
          United Kingdom — continued      
    (33,185   Ocado Group Plc *     (251,235
    (1,284   Prudential Plc     (15,273
    (307,895   Rolls-Royce Holdings Plc *     (341,163
    (815   Spirax-Sarco Engineering Plc     (111,306
     

 

 

 
    Total United Kingdom     (2,405,777
     

 

 

 
          United States — (19.9)%      
    (13,800   AES Corp. (The)     (399,096
    (1,800   Alnylam Pharmaceuticals, Inc. *     (397,062
    (5,800   Altria Group, Inc.     (270,164
    (800   American Tower Corp. (REIT)     (177,000
    (300   Amgen, Inc.     (85,920
    (100   Analog Devices, Inc.     (17,191
    (1,000   Aon Plc – Class A     (308,280
    (8,300   Aramark     (345,280
    (1,800   Arthur J Gallagher & Co.     (358,398
    (1,200   Autodesk, Inc. *     (242,340
    (600   Automatic Data Processing, Inc.     (158,484
    (2,400   Bill.Com Holdings, Inc. *     (289,008
    (1,200   BioMarin Pharmaceutical, Inc. *     (121,176
    (2,800   Bio-Techne Corp.     (237,972
    (2,100   Boeing Co. (The) *     (375,648
    (3,722   Broadcom, Inc.     (2,050,934
    (2,100   Burlington Stores, Inc. *     (410,928
    (7,100   Caesars Entertainment, Inc. *     (360,751
    (200   CDW Corp.     (37,728
    (4,900   Ceridian HCM Holding, Inc. *     (335,356
    (200   Charles Schwab Corp. (The)     (16,508
    (10,459   Charter Communications, Inc. – Class A *     (4,092,502
    (200   Chipotle Mexican Grill, Inc. – Class A *     (325,392
    (2,900   Clarivate Plc *     (28,391
    (6,100   Cloudflare, Inc. – Class A *     (299,754
    (1,200   CME Group, Inc.     (211,800
    (49,315   Columbia Banking System, Inc.     (1,679,669
    (5,300   Coupa Software, Inc. *     (335,172
    (1,000   Crown Castle, Inc. (REIT)     (141,430
    (8,600   Delta Air Lines, Inc. *     (304,182
    (3,300   Dexcom, Inc. *     (383,724
    (2,100   Diamondback Energy, Inc.     (310,842
    (200   DocuSign, Inc. – Class A *     (9,414
    (3,700   Dominion Energy, Inc.     (226,107
    (2,500   Equity LifeStyle Properties, Inc. (REIT)     (166,050
    (100   Erie Indemnity Co. – Class A     (28,239
    (3,300   Essential Utilities, Inc.     (159,192
    (7,600   Exact Sciences Corp. *     (341,620
    (5,500   Fastenal Co.     (283,305
    (5,500   Fortinet, Inc. *     (292,380
    (1,000   Gartner, Inc. *     (350,370
    (4,300   Guidewire Software, Inc. *     (255,033
    (5,649   HEICO Corp.     (916,889
    (1,400   Hess Corp.     (201,474
    (1,000   HubSpot, Inc. *     (303,030
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

         
Shares
    Description   Value ($)  
          United States — continued      
    (800   IDEXX Laboratories, Inc. *     (340,696
    (4,900   Ingersoll Rand, Inc.     (264,453
    (1,200   Insulet Corp. *     (359,244
    (4,889   Intercontinental Exchange, Inc.     (529,528
    (1,600   IQVIA Holdings, Inc. *     (348,832
    (3,700   Iron Mountain, Inc. (REIT)     (201,021
    (93,976   Liberty Global Plc – Class C *     (1,943,424
    (13,379   Liberty Media Corp.-Liberty Formula One – Class C *     (815,316
    (1,100   Linde Plc *     (370,128
    (3,800   Live Nation Entertainment, Inc. *     (276,488
    (200   LPL Financial Holdings, Inc.     (47,342
    (100   Lululemon Athletica, Inc. *     (38,031
    (1,100   MarketAxess Holdings, Inc.     (294,712
    (900   Marriott International, Inc. – Class A     (148,815
    (1,700   Marsh & McLennan Cos., Inc.     (294,406
    (100   Mastercard, Inc. – Class A     (35,640
    (10,099   MaxLinear, Inc. *     (369,623
    (600   McDonald’s Corp.     (163,674
    (400   McKesson Corp.     (152,672
    (1,600   MongoDB, Inc. – Class A *     (244,304
    (500   Monolithic Power Systems, Inc.     (190,980
    (600   Moody’s Corp.     (178,962
    (200   Motorola Solutions, Inc.     (54,440
    (700   MSCI, Inc. – Class A     (355,481
    (90,436   New York Community Bancorp, Inc.     (845,577
    (4,100   Newmont Corp.     (194,627
    (10,500   NiSource, Inc.     (293,370
    (4,000   Novocure Ltd. *     (307,360
    (5,600   Okta, Inc. *     (298,592
    (5,000   ONEOK, Inc.     (334,600
    (29,400   Palantir Technologies, Inc. – Class A *     (220,500
    (300   Palo Alto Networks, Inc. *     (50,970
    (2,400   Paychex, Inc.     (297,672
    (3,200   Philip Morris International, Inc.     (318,944
    (1,200   PTC, Inc. *     (152,652
    (200   Public Storage (REIT)     (59,592
    (7,100   ROBLOX Corp. – Class A *     (225,567
    (4,700   Roku, Inc. *     (279,039
    (8,100   Rollins, Inc.     (327,564
    (6,000   Royal Caribbean Cruises Ltd. *     (359,580
    (500   S&P Global, Inc.     (176,400
         
Shares
    Description   Value ($)  
          United States — continued      
    (2,200   Seagen, Inc. *     (267,058
    (700   ServiceNow, Inc. *     (291,410
    (1,200   Sherwin-Williams Co. (The)     (299,016
    (1,400   Simon Property Group, Inc. (REIT)     (167,216
    (4,900   Snap, Inc. – Class A *     (50,519
    (1,700   Snowflake, Inc. – Class A *     (242,930
    (3,400   Starbucks Corp.     (347,480
    (3,000   Sysco Corp.     (259,530
    (11,500   Teladoc Health, Inc. *     (327,865
    (1,500   Tesla, Inc. *     (292,050
    (500   T-Mobile U.S., Inc. *     (75,730
    (100   Tractor Supply Co.     (22,631
    (5,200   Trade Desk, Inc. (The) – Class A *     (271,128
    (500   TransDigm Group, Inc.     (314,250
    (5,800   Twilio, Inc. – Class A *     (284,316
    (10,400   Uber Technologies, Inc. *     (303,056
    (3,200   UDR, Inc. (REIT)     (132,704
    (1,200   Vail Resorts, Inc.     (309,048
    (600   Vulcan Materials Co.     (109,998
    (300   Wayfair, Inc. – Class A *     (10,992
    (10,600   Williams Cos., Inc. (The)     (367,820
    (200   Yum! Brands, Inc.     (25,732
    (2,888   Zillow Group, Inc. – Class C *     (109,686
    (100   Zoetis, Inc.     (15,414
    (2,100   Zscaler, Inc. *     (280,245
     

 

 

 
    Total United States     (36,579,827
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $65,402,619)
    (58,432,528
     

 

 

 
    PREFERRED STOCKS (d) — (0.2)%  
          Germany — (0.2)%      
    (670   Sartorius AG     (251,891
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $316,086)
    (251,891
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $65,718,705)
    (58,684,419
    Other Assets and Liabilities (net) — 7.2%     13,144,366  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $183,604,840  
     

 

 

 
 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Forward Currency Contracts

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/17/2023  

DB

  CAD     895,415     USD     666,811       645  
02/16/2023  

JPM

  CHF     2,317,275     USD     2,473,510       1,624  
01/31/2023  

BCLY

  CHF     6,459,265     USD     6,879,097       1,571  
01/18/2023  

JPM

  CZK     16,970,976     USD     725,069       1,279  
01/18/2023  

MSCI

  EUR     1,871,800     USD     1,958,953       3,614  
01/31/2023  

SSB

  EUR     2,870,000     USD     3,007,559       6,777  
02/08/2023  

MSCI

  SEK     11,900,000     USD     1,144,710       6,240  
02/09/2023  

JPM

  USD     1,029,024     AUD     1,530,000       12,491  
01/23/2023  

UBSA

  USD     477,590     AUD     706,714       3,153  
01/23/2023  

DB

  USD     7,356     AUD     10,927       77  
12/02/2022  

MSCI

  USD     780,599     BRL     4,239,119       36,290  
12/02/2022  

GS

  USD     103,919     BRL     550,000       2,068  
02/02/2023  

MSCI

  USD     658,409     BRL     3,589,119       25,044  
02/02/2023  

MSCI

  USD     2,844,139     CAD     3,871,285       36,534  
02/02/2023  

BCLY

  USD     1,008,752     CAD     1,360,000       3,241  
02/07/2023  

BOA

  USD     686,778     CAD     928,543       4,220  
01/17/2023  

MSCI

  USD     309,797     CAD     419,507       2,305  
01/12/2023  

MSCI

  USD     222,612     CLP     210,000,000       11,670  
01/31/2023  

MSCI

  USD     3,641,615     EUR     3,486,217       3,464  
01/31/2023  

DB

  USD     450,254     EUR     432,076       1,511  
02/21/2023  

MSCI

  USD     378,240     GBP     320,000       8,390  
02/16/2023  

MSCI

  USD     134,492     HUF     54,520,539       1,284  
02/16/2023  

CITI

  USD     98,439     HUF     40,000,000       1,176  
02/03/2023  

JPM

  USD     701,538     IDR     11,014,143,000       1,431  
12/12/2022  

MSCI

  USD     7,105,421     JPY     1,024,448,285       322,071  
01/17/2023  

MSCI

  USD     3,067,658     JPY     445,861,155       180,881  
12/12/2022  

BCLY

  USD     316,643     JPY     46,917,060       23,517  
12/12/2022  

JPM

  USD     383,407     JPY     56,504,863       26,267  
01/17/2023  

BCLY

  USD     2,280,176     JPY     329,320,148       119,247  
01/17/2023  

DB

  USD     27,503     JPY     3,820,805       335  
01/24/2023  

MSCI

  USD     803,913     MXN     16,418,725       39,243  
01/18/2023  

MSCI

  USD     3,318,258     NOK     34,827,768       224,336  
01/24/2023  

MSCI

  USD     64,667     NZD     105,329       1,756  
01/12/2023  

MSCI

  USD     288,904     PEN     1,160,000       12,473  
12/02/2022  

CITI

  USD     174,050     PHP     10,000,000       2,754  
12/02/2022  

JPM

  USD     87,125     PHP     5,000,000       1,277  
12/02/2022  

BCLY

  USD     188,527     PHP     10,663,090       0  
02/21/2023  

BCLY

  USD     53,777     PLN     250,000       1,205  
02/08/2023  

MSCI

  USD     1,105,028     SEK     12,055,521       48,321  
02/08/2023  

BCLY

  USD     367,429     SEK     3,900,000       5,683  
02/21/2023  

GS

  USD     58,292     SGD     80,000       547  
02/21/2023  

MSCI

  USD     59,477     THB     2,100,000       576  
02/06/2023  

CITI

  USD     78,972     TWD     2,400,000       364  
01/23/2023  

BCLY

  AUD     424,080     USD     286,291       (2,190
01/23/2023  

DB

  AUD     280,157     USD     185,792       (4,785

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
12/02/2022  

CITI

  BRL     750,000     USD     138,119       (6,408
12/02/2022  

GS

  BRL     450,000     USD     84,008       (2,709
12/02/2022  

MSCI

  BRL     3,589,119     USD     666,627       (25,005
02/07/2023  

MSCI

  CAD     4,583,142     USD     3,391,722       (18,937
02/16/2023  

JPM

  CHF     610,000     USD     647,102       (3,598
01/31/2023  

SSB

  CHF     187,022     USD     198,829       (304
01/31/2023  

MSCI

  CHF     242,235     USD     256,231       (1,690
01/12/2023  

MSCI

  CLP     175,903,500     USD     181,878       (14,364
01/12/2023  

MSCI

  COP     440,000,000     USD     87,842       (2,671
01/23/2023  

BCLY

  GBP     253,398     USD     302,290       (3,660
02/21/2023  

BCLY

  GBP     320,000     USD     382,933       (3,696
02/03/2023  

MSCI

  IDR     1,200,000,000     USD     76,093       (496
02/28/2023  

JPM

  ILS     967,605     USD     282,636       (2,536
02/23/2023  

MSCI

  INR     53,926,936     USD     655,216       (4,400
01/11/2023  

CITI

  JPY     2,185,000,000     USD     15,173,988       (733,548
12/12/2022  

MSCI

  JPY     21,916,421     USD     151,336       (7,563
12/12/2022  

DB

  JPY     85,016,238     USD     585,219       (31,168
01/17/2023  

BOA

  JPY     54,000,000     USD     370,673       (22,771
01/17/2023  

DB

  JPY     48,460,427     USD     345,356       (7,727
02/03/2023  

JPM

  KRW     761,169,825     USD     534,106       (50,167
01/24/2023  

GS

  MXN     1,600,000     USD     79,309       (2,857
01/18/2023  

BOA

  NOK     4,300,000     USD     417,630       (19,755
01/24/2023  

BCLY

  NZD     317,480     USD     195,409       (4,800
02/28/2023  

MSCI

  NZD     2,460,000     USD     1,529,923       (22,264
01/24/2023  

MSCI

  NZD     206,182     USD     128,526       (1,496
01/24/2023  

DB

  NZD     215,508     USD     134,360       (1,543
01/12/2023  

MSCI

  PEN     440,000     USD     109,290       (5,026
12/02/2022  

JPM

  PHP     25,663,090     USD     442,124       (11,608
02/01/2023  

BCLY

  PHP     10,663,090     USD     188,261       (528
02/21/2023  

MSCI

  PLN     857,005     USD     184,839       (3,640
02/27/2023  

BCLY

  RON     2,841,896     USD     590,977       (5,744
01/27/2023  

BOA

  SEK     2,874,016     USD     263,696       (11,060
02/08/2023  

BCLY

  SEK     5,100,000     USD     485,333       (2,583
02/21/2023  

MSCI

  SGD     515,848     USD     374,506       (4,899
02/21/2023  

BCLY

  THB     20,452,251     USD     577,095       (7,777
02/06/2023  

BCLY

  TWD     23,443,349     USD     732,467       (42,490
02/02/2023  

JPM

  USD     641,085     CAD     860,000       (1,149
01/17/2023  

DB

  USD     167,131     CAD     224,157       (364
02/07/2023  

BOA

  USD     207,012     CAD     278,113       (47
01/12/2023  

MSCI

  USD     874,118     COP     4,095,101,500       (31,709
02/16/2023  

BOA

  USD     50,253     HUF     20,000,000       (445
01/27/2023  

BOA

  USD     276,544     SEK     2,874,016       (1,788
           

 

 

 
            $ 52,987  
           

 

 

 
 

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
88   CAC40 10 Euro     December 2022       6,230,573       146,236  
41   Corn (g)     March 2023       1,367,350       (7,725
2   DAX Index     December 2022       759,145       124,168  
86   FTSE 100 Index     December 2022       7,908,394       214,802  
9   Hang Seng Index     December 2022       1,081,261       66,161  
343   Mini MSCI Emerging Markets     December 2022       16,849,875       508,387  
109   MSCI Singapore     December 2022       2,395,867       36,637  
7   Silver (g)     March 2023       762,335       6,626  
47   Soybean (g)     January 2023       3,453,325       190,765  
2   TOPIX Index     December 2022       291,612       6,961  
     

 

 

   

 

 

 
      $ 41,099,737     $ 1,293,018  
     

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
7   Australian Government Bond 10 Yr.     December 2022     $ 573,284     $ (3,297
41   Canadian Government Bond 10 Yr.     March 2023       3,832,539       (12,932
35   E-mini Russell 2000 Index     December 2022       3,303,125       (83,357
7   Euro Bund     December 2022       1,026,198       (3,012
3   Euro Bund     March 2023       437,770       (75
38   FTSE Taiwan Index     December 2022       1,998,790       (39,885
11   Gold 100 OZ (g)     February 2023       1,935,890       (12,395
31   MSCI EAFE     December 2022       3,068,690       (204,415
109   S&P 500 E-Mini     December 2022       22,242,813       (225,833
14   S&P/TSX 60     December 2022       2,581,749       (140,412
8   SPI 200 Futures     December 2022       999,888       (28,406
71   U.S. Treasury Note 10 Yr. (CBT)     March 2023       8,058,500       (43,987
2   UK Gilt Long Bond     March 2023       253,079       1,107  
4   WTI Crude (g)     December 2022       322,200       30,352  
     

 

 

   

 

 

 
      $ 50,634,515     $ (766,547
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 

 

Written Options

 

Description

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

Equity Options – Calls

               

Continental Resources, Inc.

     70.00        12/16/22        (93     USD        (690,758     (39,990
               

 

 

 

Index Options – Puts

               

S&P 500 Index

     3,770.00        12/02/22        (9     USD        (3,672,099     (315

S&P 500 Index

     3,990.00        12/09/22        (8     USD        (3,264,088     (12,400

S&P 500 Index

     3,965.00        12/16/22        (8     USD        (3,264,088     (25,520

S&P 500 Index

     4,025.00        12/23/22        (8     USD        (3,264,088     (44,880
               

 

 

 
     Total Index Options – Puts       (83,115
               

 

 

 

 

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.IG.S39

  DB     105.00     12/21/22     USD   (22,225,000)     FixedSpread       Pay       (2,066

CDX.NA.IG.S39

  BCLY     105.00     12/21/22     USD   (11,125,000)     FixedSpread       Pay       (1,034

CDX.NA.IG.S39

  DB     100.00     01/18/23     USD   (20,010,000)     FixedSpread       Pay       (10,675
             

 

 

 
        Total Written Options On Credit Default Swaps – Puts

 

    (13,775
               

 

 

 
        TOTAL WRITTEN OPTIONS (Premiums $435,073)

 

  $ (136,880
               

 

 

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

Buy Protection^:

                   

CDX.NA.HY.S37.V2

  USD   4,405,500     5.00%       3.81%       N/A       12/20/2026       Quarterly       (244,505     (177,392     67,113  

ITRAXX.XO.36.V1

  EUR   6,675,000     5.00%       3.99%       N/A       12/20/2026       Quarterly       (237,664     (239,366     (1,702

CDX.NA.IG.S39

  USD   33,350,000     1.00%       0.76%       N/A       12/20/2027       Quarterly       (137,482     (364,182     (226,700
               

 

 

   

 

 

   

 

 

 
                $ (619,651   $ (780,940   $ (161,289
               

 

 

   

 

 

   

 

 

 

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.HYS.31

  CITI   USD     1,631,000       5.00%       1.56%       N/A       12/20/2023       Quarterly       (6,361     (57,903     (51,542

CDX.NA.HYS.31

  CITI   USD     1,780,000       5.00%       1.56%       N/A       12/20/2023       Quarterly       18,334       (63,192     (81,526

CMBX.NA.BBB-.9

  MLCS   USD     2,640,000       3.00%       11.56%       N/A       09/17/2058       Monthly       212,244       515,803       303,559  

CMBX.NA.BBB-.10

  GS   USD     1,886,000       3.00%       8.64%       N/A       11/17/2059       Monthly       351,268       324,457       (26,811

CMBX.NA.BBB-.13

  CGMI   USD     1,500,000       3.00%       6.96%       N/A       12/16/2072       Monthly       65,524       286,734       221,210  

CMBX.NA.BBB-.13

  GS   USD     576,500       3.00%       6.96%       N/A       12/16/2072       Monthly       35,496       110,202       74,706  

CMBX.NA.BBB-.13

  MSCI   USD     1,668,750       3.00%       6.96%       N/A       12/16/2072       Monthly       226,077       318,992       92,915  

Sell Protection^:

                     

CDX.NA.HYS.31.V14-5Y

  CITI   USD     1,187,000       5.00%       0.38%       1,187,000 USD       12/20/2023       Quarterly       121,668       56,779       (64,889

CDX.NA.HYS.31.V14-5Y

  CITI   USD     1,928,000       5.00%       0.38%       1,928,000 USD       12/20/2023       Quarterly       203,886       92,225       (111,661

CDX.NA.HYS.31.V14-5Y

  CITI   USD     3,560,000       5.00%       0.38%       3,560,000 USD       12/20/2023       Quarterly       238,520       170,290       (68,230

CDX.NA.HYS.33.V12-5Y

  CITI   USD     4,388,727       5.00%       0.22%       4,388,727 USD       12/20/2024       Quarterly       756,836       408,575       (348,261

CDX.NA.HYS.35

  GS   USD     2,225,000       5.00%       1.47%       2,225,000 USD       12/20/2025       Quarterly       132,919       224,187       91,268  

CDX.NA.HYS.37

  GS   USD     11,125,000       5.00%       0.59%       11,125,000 USD       12/20/2026       Quarterly       2,081,364       1,755,564       (325,800

ITRAXX.XO.36 35

  MSCI   EUR     13,350,000       5.00%       0.81%       13,350,000 EUR       12/20/2026       Quarterly       2,319,299       2,085,895       (233,404

CMBX.NA.A.9

  CGMI   USD     1,112,500       2.00%       3.86%       1,112,500 USD       09/17/2058       Monthly       (33,096     (52,470     (19,374

CMBX.NA.A.9

  CGMI   USD     1,780,000       2.00%       3.86%       1,780,000 USD       09/17/2058       Monthly       (44,602     (83,952     (39,350

CMBX.NA.A.9

  MLCS   USD     4,750,000       2.00%       3.86%       4,750,000 USD       09/17/2058       Monthly       9,294       (224,029     (233,323

CMBX.NA.AAA.10

  GS   USD     4,610,000       0.50%       0.54%       4,610,000 USD       11/17/2059       Monthly       42,163       (7,087     (49,250

CMBX.NA.AAA.13

  GS   USD     1,730,000       0.50%       0.72%       1,730,000 USD       12/16/2072       Monthly       4,051       (22,523     (26,574
                 

 

 

   

 

 

   

 

 

 
                  $ 6,734,884     $ 5,838,547     $ (896,337
                 

 

 

   

 

 

   

 

 

 

 

^

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, 2022, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2)

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


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Centrally Cleared Interest Rate Swaps

 

Fund Pays

  Fund Receives  

Notional

Amount

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

3.86%

  3 Month AUD BBSW   AUD     9,246,000       12/21/2024     Quarterly     (7,067     (24,268     (17,201

3.91%

  3 Month AUD BBSW   AUD     4,500,000       12/21/2024     Quarterly           (14,700     (14,700

4.08%

  3 Month CAD CDOR   CAD     16,859,000       12/21/2024     Semi-Annually     (344     67,568       67,912  

4.25%

  3 Month CAD CDOR   CAD     1,500,000       12/21/2024     Semi-Annually           2,499       2,499  

3 Month CAD CDOR

  4.15%   CAD     7,500,000       12/21/2024     Semi-Annually           (22,955     (22,955

CHF - SARON - OIS - COMPOUND

  1.39%   CHF     4,000,000       12/21/2024     Semi-Annually           13,713       13,713  

CHF - SARON - OIS - COMPOUND

  1.74%   CHF     7,500,000       12/21/2024     Semi-Annually           80,920       80,920  

1.81%

  CHF - SARON - OIS -
COMPOUND
  CHF     18,227,000       12/21/2024     Semi-Annually     (1,465     (224,184     (222,719

1.40%

  CHF - SARON - OIS -
COMPOUND
  CHF     2,500,000       12/21/2024     Semi-Annually           (8,835     (8,835

EUR - EuroSTR - COMPOUND

  2.59%   EUR     6,500,000       12/21/2024     Annually           (7,154     (7,154

EUR - EuroSTR - COMPOUND

  2.64%   EUR     2,000,000       12/21/2024     Annually           (411     (411

2.14%

  EUR - EuroSTR - COMPOUND   EUR     3,481,000       12/21/2024     Annually     846       36,297       35,451  

2.94%

  EUR - EuroSTR - COMPOUND   EUR     4,500,000       12/21/2024     Annually           (26,398     (26,398

GBP - SONIA - COMPOUND

  3.96%   GBP     14,100,000       12/21/2024     Annually     (35,542     (134,446     (98,904

GBP - SONIA - COMPOUND

  4.58%   GBP     1,500,000       12/21/2024     Annually           6,851       6,851  

4.26%

  GBP - SONIA - COMPOUND   GBP     4,000,000       12/21/2024     Annually           10,996       10,996  

5.22%

  GBP - SONIA - COMPOUND   GBP     3,500,000       12/21/2024     Annually           (66,960     (66,960

5.36%

  GBP - SONIA - COMPOUND   GBP     3,000,000       12/21/2024     Annually           (66,907     (66,907

3 Month SEK STIBOR

  3.29%   SEK     127,391,000       12/21/2024     Quarterly     26,213       21,174       (5,039

3 Month SEK STIBOR

  3.45%   SEK     25,000,000       12/21/2024     Quarterly           11,236       11,236  

USD - SOFR - COMPOUND

  4.59%   USD     3,500,000       12/21/2024     Semi-Annually           13,340       13,340  

3.58%

  USD - SOFR - COMPOUND   USD     2,613,000       12/21/2024     Semi-Annually     879       40,040       39,161  

4.47%

  USD - SOFR - COMPOUND   USD     5,000,000       12/21/2024     Semi-Annually           (8,329     (8,329

6 Month AUD BBSW

  4.14%   AUD     1,100,000       12/21/2032     Semi-Annually           (1,046     (1,046

6 Month AUD BBSW

  4.19%   AUD     1,100,000       12/21/2032     Semi-Annually           1,976       1,976  

6 Month AUD BBSW

  4.21%   AUD     1,300,000       12/21/2032     Semi-Annually           3,959       3,959  

6 Month AUD BBSW

  4.25%   AUD     4,524,000       12/21/2032     Semi-Annually     10,593       23,245       12,652  

6 Month AUD BBSW

  4.25%   AUD     2,205,000       12/21/2032     Semi-Annually     5,163       11,330       6,167  

6 Month AUD BBSW

  4.29%   AUD     1,300,000       12/21/2032     Semi-Annually           9,948       9,948  

6 Month AUD BBSW

  4.57%   AUD     1,900,000       12/21/2032     Semi-Annually           44,015       44,015  

6 Month AUD BBSW

  4.73%   AUD     3,700,000       12/21/2032     Semi-Annually           118,469       118,469  

4.48%

  6 Month AUD BBSW   AUD     2,500,000       12/21/2032     Semi-Annually           (44,732     (44,732

3.71%

  3 Month CAD CDOR   CAD     6,623,000       12/21/2032     Semi-Annually     (3,007     (98,302     (95,295

3.66%

  3 Month CAD CDOR   CAD     900,000       12/21/2032     Semi-Annually           (10,576     (10,576

3.55%

  3 Month CAD CDOR   CAD     2,600,000       12/21/2032     Semi-Annually           (12,800     (12,800

3.57%

  3 Month CAD CDOR   CAD     1,300,000       12/21/2032     Semi-Annually           (7,733     (7,733

3.65%

  3 Month CAD CDOR   CAD     2,500,000       12/21/2032     Semi-Annually           (28,117     (28,117

3.68%

  3 Month CAD CDOR   CAD     1,700,000       12/21/2032     Semi-Annually           (22,659     (22,659

3 Month CAD CDOR

  3.41%   CAD     1,300,000       12/21/2032     Semi-Annually           (4,855     (4,855

3 Month CAD CDOR

  3.57%   CAD     1,500,000       12/21/2032     Semi-Annually           8,969       8,969  

3 Month CAD CDOR

  3.59%   CAD     400,000       12/21/2032     Semi-Annually           2,972       2,972  

3 Month CAD CDOR

  3.63%   CAD     1,300,000       12/21/2032     Semi-Annually           12,899       12,899  

3 Month CAD CDOR

  3.71%   CAD     3,686,000       12/21/2032     Semi-Annually     3,007       54,712       51,705  

3 Month CAD CDOR

  3.79%   CAD     2,400,000       12/21/2032     Semi-Annually           47,582       47,582  

3 Month CAD CDOR

  3.84%   CAD     2,700,000       12/21/2032     Semi-Annually           63,238       63,238  

3 Month CAD CDOR

  3.97%   CAD     1,300,000       12/21/2032     Semi-Annually           41,109       41,109  

3 Month CAD CDOR

  4.04%   CAD     2,400,000       12/21/2032     Semi-Annually           85,960       85,960  

CHF - SARON - OIS - COMPOUND

  1.85%   CHF     600,000       12/21/2032     Semi-Annually     (2,802     11,885       14,687  

CHF - SARON - OIS - COMPOUND

  1.86%   CHF     7,040,000       12/21/2032     Semi-Annually           148,130       148,130  

CHF - SARON - OIS - COMPOUND

  1.93%   CHF     1,300,000       12/21/2032     Semi-Annually           36,076       36,076  

CHF - SARON - OIS - COMPOUND

  2.05%   CHF     3,966,000       12/21/2032     Semi-Annually     2,493       156,624       154,131  

CHF - SARON - OIS - COMPOUND

  2.18%   CHF     800,000       12/21/2032     Semi-Annually     3,413       41,460       38,047  

CHF - SARON - OIS - COMPOUND

  2.20%   CHF     1,700,000       12/21/2032     Semi-Annually     (1,469     92,296       93,765  

CHF - SARON - OIS - COMPOUND

  2.27%   CHF     1,100,000       12/21/2032     Semi-Annually           67,589       67,589  

2.01%

  CHF - SARON - OIS -
COMPOUND
  CHF     1,300,000       12/21/2032     Semi-Annually           (45,567     (45,567

2.19%

  CHF - SARON - OIS -
COMPOUND
  CHF     1,600,000       12/21/2032     Semi-Annually     2,738       (85,398     (88,136


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

2.24%

  CHF - SARON - OIS -
COMPOUND
  CHF     1,000,000       12/21/2032     Semi-Annually           (57,992     (57,992

2.18%

  CHF - SARON - OIS -
COMPOUND
  CHF     900,000       12/21/2032     Semi-Annually     (4,402     (47,255     (42,853

2.11%

  CHF - SARON - OIS -
COMPOUND
  CHF     1,200,000       12/21/2032     Semi-Annually           (53,902     (53,902

1.98%

  CHF - SARON - OIS -
COMPOUND
  CHF     1,300,000       12/21/2032     Semi-Annually           (42,040     (42,040

1.85%

  CHF - SARON - OIS -
COMPOUND
  CHF     1,300,000       12/21/2032     Semi-Annually     7,927       (25,558     (33,485

EUR - EuroSTR - COMPOUND

  2.21%   EUR     766,000       12/21/2032     Annually     465       (14,366     (14,831

EUR - EuroSTR - COMPOUND

  2.48%   EUR     1,100,000       12/21/2032     Annually           7,119       7,119  

EUR - EuroSTR - COMPOUND

  2.89%   EUR     800,000       12/21/2032     Annually           35,134       35,134  

EUR - EuroSTR - COMPOUND

  2.94%   EUR     6,249,000       12/21/2032     Annually     2,207       302,211       300,004  

EUR - EuroSTR - COMPOUND

  3.12%   EUR     1,000,000       12/21/2032     Annually           65,164       65,164  

2.82%

  EUR - EuroSTR - COMPOUND   EUR     900,000       12/21/2032     Annually           (33,736     (33,736

2.80%

  EUR - EuroSTR - COMPOUND   EUR     430,000       12/21/2032     Annually           (15,223     (15,223

2.80%

  EUR - EuroSTR - COMPOUND   EUR     1,600,000       12/21/2032     Annually           (57,012     (57,012

2.41%

  EUR - EuroSTR - COMPOUND   EUR     1,400,000       12/21/2032     Annually           (247     (247

2.75%

  EUR - EuroSTR - COMPOUND   EUR     470,000       12/21/2032     Annually           (14,681     (14,681

2.69%

  EUR - EuroSTR - COMPOUND   EUR     1,600,000       12/21/2032     Annually           (41,386     (41,386

2.70%

  EUR - EuroSTR - COMPOUND   EUR     500,000       12/21/2032     Annually           (13,164     (13,164

2.55%

  EUR - EuroSTR - COMPOUND   EUR     2,200,000       12/21/2032     Annually           (28,087     (28,087

2.63%

  EUR - EuroSTR - COMPOUND   EUR     1,000,000       12/21/2032     Annually           (19,802     (19,802

GBP - SONIA - COMPOUND

  3.30%   GBP     800,000       12/21/2032     Annually           (5,629     (5,629

GBP - SONIA - COMPOUND

  3.52%   GBP     900,000       12/21/2032     Annually           12,599       12,599  

GBP - SONIA - COMPOUND

  4.12%   GBP     700,000       12/21/2032     Annually           51,780       51,780  

GBP - SONIA - COMPOUND

  4.33%   GBP     1,300,000       12/21/2032     Annually           123,832       123,832  

GBP - SONIA - COMPOUND

  4.65%   GBP     700,000       12/21/2032     Annually           88,749       88,749  

3.19%

  GBP - SONIA - COMPOUND   GBP     3,040,000       12/21/2032     Annually     20,326       55,706       35,380  

3.96%

  GBP - SONIA - COMPOUND   GBP     1,050,000       12/21/2032     Annually           (61,118     (61,118

3.93%

  GBP - SONIA - COMPOUND   GBP     510,000       12/21/2032     Annually           (28,393     (28,393

3.90%

  GBP - SONIA - COMPOUND   GBP     540,000       12/21/2032     Annually           (28,022     (28,022

3.79%

  GBP - SONIA - COMPOUND   GBP     1,100,000       12/21/2032     Annually           (45,540     (45,540

3.76%

  GBP - SONIA - COMPOUND   GBP     300,000       12/21/2032     Annually           (11,435     (11,435

4.28%

  3 Month NZD Bank Bill Rate   NZD     4,610,000       12/21/2032     Quarterly     (30,611     26,098       56,709  

4.82%

  3 Month NZD Bank Bill Rate   NZD     2,400,000       12/21/2032     Quarterly           (51,440     (51,440

4.75%

  3 Month NZD Bank Bill Rate   NZD     1,700,000       12/21/2032     Quarterly           (30,186     (30,186

3 Month NZD Bank Bill Rate

  4.21%   NZD     2,300,000       12/21/2032     Quarterly           (22,155     (22,155

3 Month NZD Bank Bill Rate

  4.45%   NZD     2,400,000       12/21/2032     Quarterly           6,705       6,705  

3 Month NZD Bank Bill Rate

  4.52%   NZD     2,300,000       12/21/2032     Quarterly           14,709       14,709  

3 Month NZD Bank Bill Rate

  4.76%   NZD     2,110,000       12/21/2032     Quarterly           39,071       39,071  

3 Month NZD Bank Bill Rate

  4.86%   NZD     1,990,000       12/21/2032     Quarterly           46,942       46,942  

3 Month SEK STIBOR

  2.69%   SEK     15,000,000       12/21/2032     Quarterly           (3,734     (3,734

3.28%

  3 Month SEK STIBOR   SEK     12,000,000       12/21/2032     Quarterly           (55,497     (55,497

3.17%

  3 Month SEK STIBOR   SEK     20,000,000       12/21/2032     Quarterly           (74,457     (74,457

3.16%

  3 Month SEK STIBOR   SEK     11,000,000       12/21/2032     Quarterly           (40,041     (40,041

2.91%

  3 Month SEK STIBOR   SEK     28,000,000       12/21/2032     Quarterly           (43,422     (43,422

2.87%

  3 Month SEK STIBOR   SEK     26,956,000       12/21/2032     Quarterly     (3,631     (33,438     (29,807

2.98%

  3 Month SEK STIBOR   SEK     14,000,000       12/21/2032     Quarterly           (30,399     (30,399

3.08%

  3 Month SEK STIBOR   SEK     11,000,000       12/21/2032     Quarterly           (32,987     (32,987

3.10%

  3 Month SEK STIBOR   SEK     19,000,000       12/21/2032     Quarterly           (60,122     (60,122

3 Month SEK STIBOR

  3.19%   SEK     20,000,000       12/21/2032     Quarterly           77,767       77,767  

USD - SOFR - COMPOUND

  3.08%   USD     2,600,000       12/21/2032     Semi-Annually           (62,244     (62,244

USD - SOFR - COMPOUND

  3.13%   USD     587,000       12/21/2032     Semi-Annually     (788     (11,936     (11,148

USD - SOFR - COMPOUND

  3.22%   USD     1,100,000       12/21/2032     Semi-Annually           (13,509     (13,509

USD - SOFR - COMPOUND

  3.48%   USD     800,000       12/21/2032     Semi-Annually           7,185       7,185  

USD - SOFR - COMPOUND

  3.68%   USD     2,500,000       12/21/2032     Semi-Annually           64,497       64,497  

USD - SOFR - COMPOUND

  3.69%   USD     1,100,000       12/21/2032     Semi-Annually           30,085       30,085  

USD - SOFR - COMPOUND

  3.81%   USD     2,900,000       12/21/2032     Semi-Annually           106,194       106,194  


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

3.13%

  USD - SOFR - COMPOUND   USD     6,401,000       12/21/2032     Semi-Annually     3,409       126,986       123,577  

3.79%

  USD - SOFR - COMPOUND   USD     800,000       12/21/2032     Semi-Annually           (28,054     (28,054

3.70%

  USD - SOFR - COMPOUND   USD     1,100,000       12/21/2032     Semi-Annually           (30,501     (30,501

3.72%

  USD - SOFR - COMPOUND   USD     1,200,000       12/21/2032     Semi-Annually           (35,840     (35,840

3.91%

  USD - SOFR - COMPOUND   USD     700,000       12/21/2032     Semi-Annually           (32,062     (32,062

3.44%

  USD - SOFR - COMPOUND   USD     1,100,000       12/21/2032     Semi-Annually           (6,743     (6,743
           

 

 

   

 

 

   

 

 

 
            $ (1,449   $ 366,923     $ 368,372  
           

 

 

   

 

 

   

 

 

 

OTC Total Return Swaps

 

Fund Pays

   Fund Receives  

Counterparty

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

SOFR

   Total Return on
iShares iBoxx
High Yield
Corporate
Bond ETF
  MSCI      USD        5,000,000        03/20/2023        Quarterly        (187      123,542        123,729  

SOFR

   Total Return on
iShares iBoxx
High Yield
Corporate
Bond ETF
  MSCI      USD        10,000,000        03/20/2023        Quarterly        (368      167,993        168,361  

1 Month Federal Funds Rate plus 0.09%

   Total Return on
MSCI World
Daily Total
Return Net
Value Index
  GS      USD        2,849,764        05/09/2023        Monthly               210,980        210,980  

Total Return on MSCI World Daily Total Return Net Growth Index

   1 Month
Federal Funds
Rate minus
0.08%
  GS      USD        2,565,392        05/09/2023        Monthly               (203,248      (203,248

Total Return on MSCI World Daily Total Return Net Growth Index

   1 Month
Federal Funds
Rate minus
0.08%
  GS      USD        261,775        05/09/2023        Monthly               (20,740      (20,740

1 Month Federal Funds Rate plus 0.01%

   Total Return on
MSCI World
Daily Total
Return Net
Value Index
  UBSA      USD        3,477,142        05/12/2023        Monthly               88,482        88,482  

Total Return on MSCI World Daily Total Return Net Growth Index

   1 Month
Federal Funds
Rate plus
0.02%
  UBSA      USD        3,597,554        05/12/2023        Monthly               (30,375      (30,375

1 Month Federal Funds Rate plus 0.05%

   Total Return on
MSCI World
Daily Total
Return Net
Value Index
  UBSA      USD        948,282        05/22/2023        Monthly               12,638        12,638  

Total Return on MSCI World Daily Total Return Net Growth Index

   1 Month
Federal Funds
Rate plus
0.06%
  UBSA      USD        789,297        05/22/2023        Monthly               (9,735      (9,735


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

1 Month Federal Funds Rate plus 0.01%

   Total Return on
MSCI World
Daily Total
Return Net
Value Index
  UBSA      USD        428,805        08/09/2023        Monthly               31,746        31,746  

Total Returnon MSCI World Daily Total Return Net Growth Index

   1 Month
Federal Funds
Rate minus
0.01%
  UBSA      USD        235,597        08/09/2023        Monthly               (18,666      (18,666

Total Return on Equity Basket (h)

   1 Month
Federal Funds
Rate minus
0.75%
  GS      USD        1        05/24/2024        Monthly               (507      (507

Total Return on Equity Basket (h)

   1 Month
Federal Funds
Rate plus
1.00%
  MORD      USD        1        05/24/2024        Monthly               (85      (85

Total Return on Equity Basket (i)

   1 Month
Federal Funds
Rate minus
0.40%
  MORD      USD        2,538,483        06/18/2024        Monthly               (80,506      (80,506

Total Return on Equity Basket (h)

   1 Month
Federal Funds
Rate minus
0.40%
  GS      USD        1,096,794        06/24/2024        Monthly               (13,443      (13,443
                   

 

 

    

 

 

    

 

 

 
   $ (555    $ 258,076      $ 258,631  
  

 

 

    

 

 

    

 

 

 

As of November 30, 2022, 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 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.

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

Investment valued using significant unobservable inputs.

 

(d)

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

 

(e)

The rate disclosed is the 7 day net yield as of November 30, 2022.

(f)

The rate shown represents yield-to-maturity.

 

(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.

 


GMO Alternative Allocation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

(i)

The following table represents the individual long and/or short positions within the custom equity basket swap as of November 30, 2022:

 

Shares    

Description

   % of
Equity
Basket
    Value ($)  
  (82,000   Air China Ltd – Class H      2.5     (66,000
  (181,500   Airports of Thailand Pcl NVDR      14.8     (387,625
  (92,000  

Alibaba Health Information Technology Ltd

     3.0     (77,662
  (222,000  

China Molybdenum Co Ltd – Class H

     4.0     (104,003
  (9,960  

Ganfeng Lithium Co Ltd – Class H

     3.4     (88,136
  (28,000  

Genscript Biotech Corp

     2.8     (72,523
  (174,500  

Gulf Energy Development Pcl NVDR

     10.1     (263,930
  (369  

Hanmi Pharm Co Ltd

     2.8     (73,777
  (3,653  

Hotel Shilla Co Ltd

     7.8     (205,284
  (2,341  

Kakao Corp

     3.9     (102,715
  (124,000  

Kingdee International Software Group Co Ltd

     8.0     (209,252
  (12,100  

Klabin SA

     1.7     (45,934
  (6,360  

Korea Aerospace Industries Ltd

     9.0     (236,194
  (494  

Samsung Biologics Co Ltd

     12.8     (335,988
  (40,355  

Samsung Heavy Industries Co Ltd

     6.2     (161,450
  (406  

Yuhan Corp

     0.7     (18,148
  (130,000   Zijin Mining Group Co Ltd – Class H      6.5     (172,544
      

 

 

 
  TOTAL COMMON STOCKS      $ (2,621,165
      

 

 

 

The rates shown on variable rate notes are the current interest rates at November 30, 2022, which are subject to change based on the terms of the security.

Portfolio Abbreviations:

ADR - American Depositary Receipt

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

CDOR - Canadian Dollar Offering Rate

CVR - Contingent Value Right

ETF - Exchange-Traded Fund

EuroSTR - Euro Short-Term Rate

GDR - Global Depositary Receipt

LIBOR - London Interbank Offered Rate

NVDR - Non-Voting Depositary Receipt

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

OIS - Overnight Indexed Swaps

REIT - Real Estate Investment Trust

SARON - Swiss Average Rate Overnight

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

SOFR - Secured Overnight Financing Rate

SONIA - Sterling Overnight Interbank Average Rate

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

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CGMI - Citigroup Global Markets Inc.

CITI - Citibank N.A.

DB - Deutsche Bank AG

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MLCS - Merrill Lynch Capital Services, Inc.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

UBSA - UBS AG

Currency Abbreviations:

 

AUD - Australian Dollar

BRL - Brazil Real

CAD - Canada Dollar

CHF - Switzerland Franc

CLP - Chile Peso

COP - Colombia Peso

CZK - Czech Republic Koruna

EUR - Euro

GBP - United Kingdom Pound

HUF - Hungary Forint

IDR - Indonesia Rupiah

ILS - Israel Shekel

INR - Indian Rupee

JPY - Japan Yen

KRW - Korean Won

MXN - Mexico Peso

NOK - Norway Krone

NZD - New Zealand Dollar

PEN - Peru Nuevo Sol

PHP - Philippines Peso

PLN - Poland Zloty

RON - Romania New Leu

SEK - Sweden Krona

SGD - Singapore Dollar

THB - Thailand Baht

TWD - Taiwan New Dollar

USD - United States Dollar

 
 


GMO Benchmark-Free Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 100.0%  
          Affiliated Issuers — 100.0%      
    7,645,231     GMO Emerging Country Debt Fund, Class VI     145,641,657  
    6,146,389     GMO High Yield Fund, Class VI     109,897,440  
    313,952,720     GMO Implementation Fund     3,867,897,510  
    8,319,562     GMO Opportunistic Income Fund, Class VI     202,830,909  
    4,423,466     GMO SGM Major Markets Fund, Class VI     120,981,792  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $4,754,175,324)
    4,447,249,308  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%      
    3,074,108     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     3,074,108  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $3,074,108)
    3,074,108  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $4,757,249,432)
    4,450,323,416  
    Other Assets and Liabilities (net) — (0.0%)     (2,092,538
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $4,448,230,878  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
    COMMON STOCKS — 69.6%  
          Argentina — 0.0%      
    1,400     Banco BBVA Argentina SA ADR     4,522  
     

 

 

 
          Australia — 1.4%      
    13,589     Accent Group Ltd     16,774  
    223,654     Aurizon Holdings Ltd (a)     581,294  
    33,572     Austal Ltd     55,915  
    425,997     Beach Energy Ltd     513,561  
    1,639     BHP Group Ltd (a)     50,900  
    200,238     BlueScope Steel Ltd     2,413,454  
    196,144     Brambles Ltd (a)     1,622,473  
    3,436     Brickworks Ltd     52,750  
    14,775     Challenger Ltd (b)     73,913  
    181,834     Fortescue Metals Group Ltd (a) (b)     2,420,150  
    297,919     GPT Group (The) (REIT)     918,467  
    123,483     GrainCorp Ltd – Class A     682,736  
    236,656     Grange Resources Ltd     123,629  
    125,751     Helia Group Ltd     232,443  
    43,009     HomeCo Daily Needs (REIT)     39,159  
    18,596     Incitec Pivot Ltd     50,923  
    30,943     JB Hi-Fi Ltd (a) (b)     951,632  
    5,884     McMillan Shakespeare Ltd     59,220  
    158,806     Metcash Ltd (b)     454,127  
    659,912     Mirvac Group (REIT)     1,012,647  
    4,524     Monadelphous Group Ltd     42,528  
    3,311     National Australia Bank Ltd (a)     71,266  
    18,241     NRW Holdings Ltd     34,187  
    63,758     Nufarm Ltd (b)     263,832  
    1,846     Premier Investments Ltd     32,264  
    40,325     Rio Tinto Ltd (a)     3,010,448  
    403,428     Scentre Group (REIT) (a)     822,867  
    24,597     Sims Ltd     219,763  
    24,820     Southern Cross Media Group Ltd (b)     17,791  
    341,622     Stockland (REIT) (a)     891,932  
    8,432     Super Retail Group Ltd     63,870  
    135,821     Viva Energy Group Ltd     255,216  
     

 

 

 
    Total Australia     18,052,131  
     

 

 

 
          Austria — 0.0%      
    1,459     Strabag SE     60,853  
    1,513     Vienna Insurance Group AG Wiener Versicherung Gruppe     35,458  
     

 

 

 
    Total Austria     96,311  
     

 

 

 
          Belgium — 0.4%      
    1,112     Ackermans & van Haaren NV     176,748  
    50,092     Ageas SA/NV     2,028,318  
    11,800     Bekaert SA     421,364  
    1,235     Cie d’Entreprises CFE *     12,160  
    331     Deme Group NV *     41,156  
    12,643     Econocom Group SA (a)     37,430  
     Shares     Description       
Value ($)
 
          Belgium — continued      
    963     Orange Belgium SA *     17,168  
    6,690     Proximus SADP     69,983  
    3,825     Sofina SA     832,600  
    2,378     Solvay SA (a)     235,885  
    1,347     Telenet Group Holding NV     21,504  
    20,592     UCB SA     1,662,115  
     

 

 

 
    Total Belgium     5,556,431  
     

 

 

 
          Brazil — 0.9%      
    92,100     Banco do Brasil SA     626,145  
    9,000     BB Seguridade Participacoes SA     54,319  
    3,300     Cia Paranaense de Energia     25,322  
    7,700     Companhia Energetica de Minas Gerais     26,812  
    11,000     CPFL Energia SA     73,978  
    13,500     EDP – Energias do Brasil SA     55,203  
    64,127     Enauta Participacoes SA     165,590  
    41,800     Itau Unibanco Holding SA     181,398  
    56,000     JBS SA     237,949  
    66,810     Localiza Rent a Car SA     773,754  
    204     Localiza Rent a Car SA GDR * (c)     2,363  
    299,300     Marfrig Global Foods SA     504,663  
    243,700     Petroleo Brasileiro SA Sponsored ADR     2,848,853  
    47,300     Ser Educacional SA *     50,314  
    66,200     Telefonica Brasil SA     485,400  
    65,300     Telefonica Brasil SA ADR     477,343  
    836,500     TIM SA     2,095,542  
    15,500     TIM SA ADR     193,130  
    43,700     Transmissora Alianca de Energia Eletrica SA     290,865  
    13,452     Vale SA     222,180  
    93,500     Vale SA Sponsored ADR – Class B (a)     1,542,750  
    267,140     Vibra Energia SA     850,940  
     

 

 

 
    Total Brazil     11,784,813  
     

 

 

 
          Canada — 2.5%      
    26,100     Alimentation Couche-Tard Inc (a)     1,189,018  
    4,100     Atco Ltd – Class I (a)     131,277  
    5,100     Bank of Montreal (a)     498,114  
    1,800     Bank of Nova Scotia (The) (a)     93,960  
    17,500     Birchcliff Energy Ltd (b)     139,724  
    63,400     BlackBerry Ltd * (a)     308,758  
    57,048     Brookfield Asset Management Inc – Class A (a)     2,689,813  
    6,700     Canaccord Genuity Group Inc     39,000  
    15,600     Canadian Apartment Properties (REIT) (a)     506,799  
    1,700     Canadian National Railway Co (a)     218,331  
    14,400     Canadian Tire Corp Ltd – Class A (a)     1,630,819  
    25,000     Canfor Corp *     442,887  
    46,900     Celestica Inc * (b) (d)     523,339  
    16,200     Celestica Inc * (d)     180,792  
    12,300     Cenovus Energy Inc (d)     244,647  
    7,100     Cenovus Energy Inc (d)     141,192  
    4,003     Cogeco Inc (b)     178,553  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Canada — continued      
    2,900     DREAM UnLtd Corp – Class A (b)     62,305  
    4,400     Element Fleet Management Corp     62,345  
    3,600     Enerplus Corp     66,888  
    400     Fairfax Financial Holdings Ltd (a)     229,500  
    14,600     Finning International Inc     369,789  
    1,900     Hardwoods Distribution Inc     36,753  
    11,300     Hydro One Ltd (a)     316,029  
    5,900     iA Financial Corp Inc     332,863  
    21,200     Imperial Oil Ltd (d)     1,209,460  
    2,700     Imperial Oil Ltd (b) (d)     153,612  
    44,100     Interfor Corp * (b)     826,168  
    13,128     International Petroleum Corp *     152,548  
    4,700     Loblaw Cos Ltd (a)     424,176  
    30,100     Magna International Inc     1,853,461  
    71,400     Manulife Financial Corp (a) (d)     1,287,342  
    60,400     Manulife Financial Corp (a) (d)     1,087,977  
    15,900     Mullen Group Ltd (a)     180,968  
    3,300     National Bank of Canada (b)     235,341  
    35,389     Nutrien Ltd (a)     2,845,276  
    16,800     Onex Corp     885,367  
    12,600     Parex Resources Inc (b)     180,408  
    6,900     Power Corp of Canada (a)     173,584  
    17,300     PrairieSky Royalty Ltd (b)     283,714  
    49,400     Quebecor Inc – Class B (a)     1,064,644  
    4,600     Rogers Sugar Inc     20,826  
    14,600     Russel Metals Inc (b)     314,218  
    7,300     Sleep Country Canada Holdings Inc     125,362  
    1,600     Spin Master Corp     40,810  
    4,600     Suncor Energy Inc (d)     151,253  
    1,000     Suncor Energy Inc (d)     32,870  
    107,000     Teck Resources Ltd – Class B* (d)     3,966,115  
    62,800     Teck Resources Ltd – Class B (d)     2,329,252  
    15,600     Uni-Select Inc *     528,021  
    1,500     Wajax Corp     23,083  
    22,600     West Fraser Timber Co Ltd (b) (d)     1,767,812  
    4,900     West Fraser Timber Co Ltd (d)     384,013  
     

 

 

 
    Total Canada     33,161,176  
     

 

 

 
          Chile — 0.1%      
    484,745     Banco de Chile     45,849  
    1,433     CAP SA     10,519  
    241,464     Cencosud SA     360,013  
    37,376     Cencosud Shopping SA     47,761  
    7,100     Cia Cervecerias Unidas SA Sponsored ADR     86,478  
    1,696,576     Colbun SA     150,947  
    337,799     Falabella SA     604,282  
    28,643     Inversiones La Construccion SA     90,448  
     

 

 

 
    Total Chile     1,396,297  
     

 

 

 
          China — 3.9%      
    116,000     361 Degrees International Ltd *     50,749  
    454,500     3SBio Inc     482,139  
     Shares     Description       
Value ($)
 
          China — continued      
    7,698,000     Agricultural Bank of China Ltd – Class H     2,573,255  
    215,169     Alibaba Group Holding Ltd *     2,341,717  
    116,000     Anhui Conch Cement Co Ltd – Class H     422,511  
    838,000     BAIC Motor Corp Ltd – Class H     231,478  
    5,530,000     Bank of China Ltd – Class H     1,959,825  
    2,189,091     Bank of Communications Co Ltd – Class H     1,240,342  
    118,000     Beijing Enterprises Holdings Ltd     375,290  
    234,000     China BlueChemical Ltd – Class H     54,406  
    2,998,000     China Cinda Asset Management Co Ltd – Class H     394,407  
    446,000     China Communications Services Corp Ltd – Class H     153,750  
    142,500     China Conch Venture Holdings Ltd     326,104  
    4,405,000     China Construction Bank Corp – Class H     2,665,906  
    683,000     China Dongxiang Group Co Ltd     28,332  
    1,894,000     China Energy Engineering Corp Ltd – Class H (b)     232,833  
    1,059,000     China Everbright Environment Group Ltd     489,996  
    1,058,000     China Greenfresh Group Co Ltd (e)      
    1,348,500     China Hongqiao Group Ltd     1,274,419  
    280,000     China Lesso Group Holdings Ltd     343,267  
    52,000     China Lilang Ltd     24,604  
    274,645     China Medical System Holdings Ltd     402,256  
    34,780     China Merchants Port Holdings Co Ltd     50,766  
    98,000     China National Building Material Co Ltd – Class H     87,381  
    462,000     China Overseas Grand Oceans Group Ltd     214,116  
    1,161,500     China Overseas Land & Investment Ltd     3,173,828  
    7,248,000     China Petroleum & Chemical Corp – Class H     3,421,737  
    2,421,042     China Railway Group Ltd – Class H     1,366,554  
    693,000     China Reinsurance Group Corp – Class H     44,244  
    1,097,000     China Resources Pharmaceutical Group Ltd     903,665  
    56,000     China Shineway Pharmaceutical Group Ltd     50,827  
    336,000     China South City Holdings Ltd * (b)     24,706  
    552,000     China State Construction International Holdings Ltd     666,558  
    1,420,000     China Traditional Chinese Medicine Holdings Co Ltd     711,963  
    1,776,400     China Zhongwang Holdings Ltd * (c)     382,073  
    1,874,000     CITIC Ltd     1,921,165  
    2,504,000     CSPC Pharmaceutical Group Ltd     3,225,945  
    1,060,000     Dongfeng Motor Group Co Ltd – Class H     597,159  
    98,000     Far East Horizon Ltd     74,576  
    92,500     Fosun International Ltd     70,713  
    130,000     Fufeng Group Ltd     82,821  
    52,000     Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd – Class H     139,612  
    284,600     Haier Smart Home Co Ltd – Class H     947,193  
    71,500     Hengan International Group Co Ltd     329,575  
    67,000     Hisense Home Appliances Group Co Ltd – Class H     69,759  
    198,750     Kingboard Holdings Ltd     657,951  
    120,200     Legend Holdings Corp – Class H     123,448  
    2,628,000     Lenovo Group Ltd     2,244,432  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          China — continued      
    38,481     Livzon Pharmaceutical Group Inc – Class H     134,846  
    249,000     Lonking Holdings Ltd     44,516  
    610,000     Metallurgical Corp of China Ltd – Class H     137,445  
    52,000     MMG Ltd *     13,685  
    23,500     NetDragon Websoft Holdings Ltd     46,815  
    511,000     Nexteer Automotive Group Ltd (b)     339,918  
    46,000     People’s Insurance Co Group of China Ltd – Class H     15,524  
    5,628,000     PetroChina Co Ltd – Class H     2,560,919  
    2,190,000     PICC Property & Casualty Co Ltd – Class H     2,218,705  
    245,000     Poly Property Group Co Ltd     61,140  
    12,000     Road King Infrastructure Ltd     4,996  
    328,900     Shanghai Pharmaceuticals Holding Co Ltd – Class H     548,438  
    1,294,500     Shimao Group Holdings Ltd * (c)     732,522  
    242,000     Shougang Fushan Resources Group Ltd     82,056  
    616,000     Sino-Ocean Group Holding Ltd     78,524  
    276,500     Sinopec Engineering Group Co Ltd – Class H     113,699  
    424,000     Sinopharm Group Co Ltd – Class H     1,005,902  
    324,000     Sinotruk Hong Kong Ltd     425,270  
    588,000     Skyworth Group Ltd     224,611  
    58,000     SSY Group Ltd     29,098  
    1,768,000     Sunac China Holdings Ltd * (b) (c)     1,036,678  
    339,000     TCL Electronics Holdings Ltd *     139,495  
    47,420     Tencent Holdings Ltd     1,793,249  
    100,000     Tianjin Port Development Holdings Ltd     7,041  
    250,000     Tianneng Power International Ltd (b)     270,021  
    21,800     Vipshop Holdings Ltd ADR *     243,070  
    312,000     Yadea Group Holdings Ltd     591,924  
    84,000     Zhongsheng Group Holdings Ltd     433,340  
     

 

 

 
    Total China     50,983,800  
     

 

 

 
          Colombia — 0.0%      
    49,335     Ecopetrol SA     23,400  
    1,535     Ecopetrol SA Sponsored ADR     15,151  
     

 

 

 
    Total Colombia     38,551  
     

 

 

 
          Czech Republic — 0.0%      
    62,965     Moneta Money Bank AS     193,677  
    212     Philip Morris CR AS     153,747  
     

 

 

 
    Total Czech Republic     347,424  
     

 

 

 
          Denmark — 0.5%      
    372     AP Moller – Maersk A/S – Class A (a)     789,780  
    320     AP Moller – Maersk A/S – Class B (a)     693,746  
    121,878     Danske Bank A/S     2,194,790  
    12,221     GN Store Nord A/S (a)     295,252  
    3,288     Matas A/S     32,800  
    25,474     Pandora A/S     1,939,355  
    633     Rockwool A/S – B Shares     138,998  
    5,669     Scandinavian Tobacco Group A/S     100,701  
     

 

 

 
    Total Denmark     6,185,422  
     

 

 

 
     Shares     Description       
Value ($)
 
          Egypt — 0.0%      
    93,413     Commercial International Bank Egypt SAE     153,100  
    249,818     Eastern Co SAE     131,274  
    24,934     Misr Fertilizers Production Co SAE     135,511  
     

 

 

 
    Total Egypt     419,885  
     

 

 

 
          Finland — 0.5%      
    24,014     Metsa Board Oyj – Class B     213,663  
    43,552     Neste Oyj     2,248,004  
    588,682     Nokia Oyj (a)     2,900,381  
    109,983     Outokumpu Oyj     554,783  
    48,565     Stora Enso Oyj – R Shares (a)     714,447  
    16,983     UPM-Kymmene Oyj (a)     623,469  
     

 

 

 
    Total Finland     7,254,747  
     

 

 

 
          France — 2.7%      
    20,633     ALD SA (a)     207,655  
    2,515     APERAM SA     79,838  
    67,932     ArcelorMittal SA     1,862,635  
    12,043     Arkema SA     1,070,763  
    470     Axway Software SA     7,881  
    28,265     BNP Paribas SA     1,588,267  
    651     Boiron SA     30,699  
    60,641     Cie de Saint-Gobain     2,796,250  
    48,595     Coface SA     594,877  
    36,534     Derichebourg SA     197,642  
    691     Eiffage SA     68,039  
    2,156     Eramet SA     184,496  
    389     HEXAOM     7,320  
    15,202     Ipsen SA     1,699,359  
    11,848     IPSOS     677,788  
    3,429     Kering SA (a)     2,060,270  
    4,483     LVMH Moet Hennessy Louis Vuitton SE (a)     3,478,936  
    948     Mersen SA     36,517  
    14,915     Metropole Television SA     214,452  
    44,356     Publicis Groupe SA (a)     2,919,353  
    10,895     Quadient SA     166,228  
    3,372     Rexel SA *     61,965  
    1,465     Rothschild & Co     57,445  
    29,696     Safran SA (a)     3,670,001  
    27,271     Sanofi (a)     2,463,370  
    5,618     SES SA, ADR – Class A     38,518  
    3,971     SMCP SA *     28,386  
    5,441     Societe BIC SA     359,449  
    143,070     Societe Generale SA     3,600,932  
    48,900     STMicroelectronics NV     1,901,232  
    577     Synergie SE     18,471  
    5,430     Technip Energies NV     85,998  
    58,030     Television Francaise 1     438,609  
    56,823     TotalEnergies SE (a)     3,551,442  
     

 

 

 
    Total France     36,225,083  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Germany — 1.1%      
    3,415     1&1 AG     49,084  
    188     Amadeus Fire AG     22,354  
    4,009     Aurubis AG     321,850  
    19,052     Bayer AG (Registered) (a)     1,105,719  
    19,520     Bayerische Motoren Werke AG (a)     1,772,389  
    19,770     Beiersdorf AG (a)     2,150,053  
    23,946     Commerzbank AG *     200,574  
    425     Deutsche Boerse AG     78,104  
    13,626     Deutsche Pfandbriefbank AG     108,221  
    11,405     Deutsche Telekom AG (a)     232,009  
    307     Draegerwerk AG & Co KGaA (a)     12,330  
    1,126     Elmos Semiconductor SE     70,291  
    22,053     Fresenius SE & Co KGaA (a)     614,458  
    2,270     Hamburger Hafen und Logistik AG (a)     27,535  
    25,033     HeidelbergCement AG (a)     1,372,527  
    798     Henkel AG & Co KGaA (a)     53,090  
    3,550     Hornbach Holding AG & Co KGaA     281,589  
    70,272     Kloeckner & Co SE     666,899  
    28,496     Mercedes-Benz Group AG (a)     1,936,109  
    11,548     Merck KGaA (a)     2,115,767  
    15,641     ProSiebenSat.1 Media SE     142,122  
    2,233     RTL Group SA     92,751  
    22,524     Salzgitter AG     660,524  
    3,131     Siltronic AG     259,841  
    2,910     Takkt AG     40,594  
    2,997     Volkswagen AG (a)     578,564  
     

 

 

 
    Total Germany     14,965,348  
     

 

 

 
          Greece — 0.0%      
    12,055     FF Group * (e)      
    635     Hellenic Telecommunications Organization SA     9,823  
    14,501     JUMBO SA     231,596  
    12,631     Mytilineos SA     238,333  
     

 

 

 
    Total Greece     479,752  
     

 

 

 
          Hong Kong — 0.7%      
    113,400     ASMPT Ltd     844,206  
    45,400     Bank of East Asia Ltd (The)     52,360  
    86,000     BOC Hong Kong Holdings Ltd     274,511  
    71,400     Champion (REIT)     24,763  
    32,000     Chow Sang Sang Holdings International Ltd     37,172  
    284,000     CITIC Telecom International Holdings Ltd     93,732  
    88,000     CK Asset Holdings Ltd (a)     526,723  
    48,500     CK Hutchison Holdings Ltd (a)     281,941  
    550,000     CSI Properties Ltd     9,912  
    99,700     Dah Sing Banking Group Ltd     69,517  
    30,800     Dah Sing Financial Holdings Ltd     68,802  
    392,000     First Pacific Co Ltd     123,018  
    254,573     Galaxy Entertainment Group Ltd     1,547,666  
    104,000     Giordano International Ltd     19,106  
    23,000     Health & Happiness H&H International Holdings Ltd     27,989  
     Shares     Description       
Value ($)
 
          Hong Kong — continued      
    287,000     HKT Trust & HKT Ltd – Class SS     349,945  
    298,000     IGG Inc *     105,382  
    96,000     Johnson Electric Holdings Ltd     120,381  
    103,000     K Wah International Holdings Ltd     32,423  
    29,500     Kerry Logistics Network Ltd     51,971  
    93,500     Kerry Properties Ltd     178,744  
    41,800     Luk Fook Holdings International Ltd     101,338  
    64,000     NWS Holdings Ltd     52,770  
    172,000     Pacific Textiles Holdings Ltd     56,670  
    331,000     PCCW Ltd     144,737  
    126,000     Power Assets Holdings Ltd (a)     649,988  
    250,000     Shun Tak Holdings Ltd *     40,303  
    38,000     Sino Land Co Ltd (a)     47,527  
    240,000     SITC International Holdings Co Ltd     532,405  
    55,500     SmarTone Telecommunications Holdings Ltd     28,176  
    93,000     Sun Hung Kai & Co Ltd     33,941  
    64,500     Swire Pacific Ltd – Class A (a)     506,931  
    56,500     Texhong Textile Group Ltd     46,733  
    46,000     Texwinca Holdings Ltd     7,699  
    230,000     VSTECS Holdings Ltd     124,843  
    39,500     VTech Holdings Ltd     251,916  
    1,839,000     WH Group Ltd     1,077,500  
    71,000     Yue Yuen Industrial Holdings Ltd     89,547  
     

 

 

 
    Total Hong Kong     8,633,288  
     

 

 

 
          Hungary — 0.2%      
    40,419     MOL Hungarian Oil & Gas Plc     292,609  
    65,012     OTP Bank Nyrt     1,792,495  
    5,739     Richter Gedeon Nyrt     123,460  
     

 

 

 
    Total Hungary     2,208,564  
     

 

 

 
          India — 2.7%      
    392     ACC Ltd     12,323  
    42,762     Arvind Ltd *     50,542  
    19,526     Asian Paints Ltd     764,134  
    33,918     Aurobindo Pharma Ltd     196,753  
    60,206     Axis Bank Ltd     667,963  
    4,001     Bajaj Consumer Care Ltd     8,144  
    14,411     Bandhan Bank Ltd *     42,340  
    68,024     Bharat Electronics Ltd     88,513  
    141,815     Brightcom Group Ltd     63,773  
    17,362     Cipla Ltd     244,957  
    2,326     Clean Science & Technology Ltd     43,139  
    723,003     Coal India Ltd     2,042,280  
    17,049     Cochin Shipyard Ltd     140,397  
    811     Colgate-Palmolive India Ltd     16,255  
    12,689     Coromandel International Ltd     145,391  
    684     Cummins India Ltd     11,918  
    1,380     Deepak Fertilisers & Petrochemicals Corp Ltd     13,802  
    23,833     Dhampur Bio Organics Ltd *     58,824  
    61,328     Exide Industries Ltd     142,997  
    1,510,796     GAIL India Ltd     1,770,131  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          India — continued      
    1,879     GHCL Ltd     13,427  
    37,406     Glenmark Pharmaceuticals Ltd     198,391  
    1,958     Great Eastern Shipping Co Ltd (The)     16,101  
    6,496     Gujarat Narmada Valley Fertilizers & Chemicals Ltd     48,174  
    163,404     Gujarat State Fertilizers & Chemicals Ltd     266,716  
    11,427     HCL Technologies Ltd     158,783  
    26,184     HDFC Bank Ltd     520,422  
    6,338     Hero MotoCorp Ltd     222,801  
    260,995     Hindalco Industries Ltd     1,461,440  
    10,605     Hindustan Aeronautics Ltd     361,769  
    159,926     Hindustan Petroleum Corp Ltd     472,567  
    3,865     Hindustan Unilever Ltd     127,719  
    17,007     Hindustan Zinc Ltd     64,520  
    18,492     Housing Development Finance Corp Ltd     615,005  
    96,682     ICICI Bank Ltd     1,132,310  
    187,350     Indian Oil Corp Ltd     177,741  
    38,157     Indus Towers Ltd     94,138  
    25,115     Infosys Ltd     511,750  
    34,300     Infosys Ltd Sponsored ADR (a)     698,005  
    1,002,190     ITC Ltd     4,202,006  
    137,849     Karnataka Bank Ltd (The)     244,936  
    12,649     Larsen + Toubro Infotech Ltd (c)     760,865  
    379     Mahanagar Gas Ltd     4,220  
    43,619     Mahindra & Mahindra Ltd     702,957  
    14,132     Manappuram Finance Ltd     20,113  
    3,128     Maruti Suzuki India Ltd     346,475  
    2,895     Muthoot Finance Ltd     38,671  
    280,421     National Aluminium Co Ltd     268,191  
    3,564     NCC Ltd     3,643  
    532,175     NMDC Ltd     777,329  
    457,826     NMDC Steel Ltd (c)     216,443  
    380,863     NTPC Ltd     807,455  
    2,706,758     Oil & Natural Gas Corp Ltd     4,737,632  
    14,471     Oil India Ltd     36,743  
    278     Oracle Financial Services Software Ltd     10,686  
    142     Page Industries Ltd     83,124  
    81,585     Petronet LNG Ltd     214,030  
    508     PI Industries Ltd     21,926  
    3,294     Piramal Enterprises Ltd     33,512  
    348,262     Power Finance Corp Ltd     584,484  
    167,093     Power Grid Corp of India Ltd     459,999  
    15,658     Rajesh Exports Ltd     148,544  
    477,379     REC Ltd     650,478  
    96,254     Redington Ltd     214,795  
    6,214     Reliance Industries Ltd     209,154  
    2,569     Shriram Transport Finance Co Ltd     42,983  
    191,881     Sun Pharmaceutical Industries Ltd     2,491,235  
    15,527     Sun TV Network Ltd     94,446  
    4,326     Tata Chemicals Ltd     55,335  
    1     Tata Consultancy Services Ltd     42  
    1,416,462     Tata Steel Ltd     1,894,244  
     Shares     Description       
Value ($)
 
          India — continued      
    24,037     Titan Co Ltd     790,143  
    35,130     Vardhman Textiles Ltd *     150,274  
     

 

 

 
    Total India     35,003,468  
     

 

 

 
          Indonesia — 0.5%      
    2,917,200     Adaro Energy Indonesia Tbk PT     721,924  
    251,400     Adaro Minerals Indonesia Tbk PT *     26,049  
    531,900     Astra International Tbk PT     205,792  
    3,687,800     Bank Central Asia Tbk PT     2,190,843  
    987,596     Bank Mandiri Persero Tbk PT     666,194  
    168,300     Bank Negara Indonesia Persero Tbk PT     106,616  
    2,588,500     Bank Pembangunan Daerah Jawa Timur Tbk PT     120,245  
    3,593,100     Bank Rakyat Indonesia Persero Tbk PT     1,143,011  
    259,500     Bank Tabungan Negara Persero Tbk PT     25,421  
    1,043,300     Bukit Asam Tbk PT     253,136  
    1,134,100     Global Mediacom Tbk PT *     21,147  
    6,300     Gudang Garam Tbk PT     7,989  
    92,600     Indo Tambangraya Megah Tbk PT     246,631  
    572,600     Indofood Sukses Makmur Tbk PT     235,126  
    2,681,400     Kalbe Farma Tbk PT     353,943  
    2,116,700     Media Nusantara Citra Tbk PT *     107,400  
    1,576,700     Perusahaan Gas Negara Tbk PT     189,761  
    92,800     Tower Bersama Infrastructure Tbk PT     13,686  
    127,248     United Tractors Tbk PT     250,289  
     

 

 

 
    Total Indonesia     6,885,203  
     

 

 

 
          Ireland — 0.5%      
    1,633     AIB Group Plc     5,303  
    284,410     Bank of Ireland Group Plc     2,358,339  
    17,104     Glanbia Plc     206,277  
    4,004     Kingspan Group Plc (b)     227,291  
    15,644     Origin Enterprises Plc     63,895  
    9,611     Permanent TSB Group Holdings Plc *     17,761  
    96,472     Ryanair Holdings Plc *     1,302,253  
    14,919     Ryanair Holdings Plc Sponsored ADR * (a)     1,129,219  
    30,251     Smurfit Kappa Group Plc (d)     1,098,971  
    3,738     Smurfit Kappa Group Plc (d)     135,092  
     

 

 

 
    Total Ireland     6,544,401  
     

 

 

 
          Israel — 0.3%      
    7,984     Bank Hapoalim BM     77,626  
    18,026     Bank Leumi Le-Israel BM     165,244  
    220,793     Oil Refineries Ltd     82,072  
    210,700     Teva Pharmaceutical Industries Ltd Sponsored ADR *     1,847,839  
    63,000     ZIM Integrated Shipping Services Ltd     1,324,260  
     

 

 

 
    Total Israel     3,497,041  
     

 

 

 
          Italy — 0.6%      
    4,940     ACEA SPA (a)     67,906  
    13,898     Anima Holding SPA     53,189  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Italy — continued      
    21,679     Banca IFIS SPA     298,769  
    22,824     Banco BPM SPA     79,100  
    76,892     CIR SpA-Compagnie Industriali *     34,584  
    22,116     Credito Emiliano SPA     156,735  
    900     Eni SPA – Sponsored ADR     26,649  
    9,620     Esprinet SPA     71,117  
    124,389     Italgas SPA (a)     732,037  
    7,750     Iveco Group NV *     52,339  
    196,366     Leonardo SPA     1,575,496  
    72,418     MFE-MediaForEurope NV – Class A     30,469  
    8,774     Snam SPA (a)     44,789  
    120,687     Stellantis NV (a) (d)     1,903,893  
    8,200     Stellantis NV (a) (d)     128,084  
    5,265,030     Telecom Italia SPA * (b)     1,148,678  
    27,701     Terna – Rete Elettrica Nazionale (a)     212,188  
    2,778     Unieuro SPA (b)     37,700  
    215,934     Unipol Gruppo SPA     1,104,572  
     

 

 

 
    Total Italy     7,758,294  
     

 

 

 
          Japan — 13.6%      
    6,200     ADEKA Corp     102,771  
    1,600     Advantest Corp (a)     108,900  
    185,700     Aeon Mall Co Ltd     2,242,678  
    23,000     AGC Inc     776,735  
    6,100     Aichi Corp     35,659  
    17,500     Aisin Corp     482,295  
    101,400     Amano Corp     1,840,733  
    9,000     AOKI Holdings Inc     45,144  
    43,300     Arcs Co Ltd     662,155  
    216,800     Asahi Kasei Corp (a)     1,611,329  
    4,300     Bandai Namco Holdings Inc (a)     284,920  
    3,600     Bando Chemical Industries Ltd     26,353  
    64,900     Brother Industries Ltd     1,054,052  
    111,300     Canon Inc (a) (b)     2,601,604  
    8,100     Canon Marketing Japan Inc     184,289  
    4,200     Central Glass Co Ltd     106,971  
    1,600     Chiyoda Integre Co Ltd     28,072  
    106,000     Chugoku Marine Paints Ltd     800,067  
    70,300     Citizen Watch Co Ltd     308,705  
    3,900     CONEXIO Corp     34,051  
    105,800     Credit Saison Co Ltd     1,356,448  
    38,600     Dai Nippon Printing Co Ltd     799,469  
    5,400     Dai Nippon Toryo Co Ltd     30,216  
    3,400     Daicel Corp     24,800  
    1,500     Dai-Dan Co Ltd     24,065  
    1,400     Daiichi Jitsugyo Co Ltd     43,186  
    24,300     Daiwa House Industry Co Ltd (a)     559,605  
    209,300     Daiwabo Holdings Co Ltd     3,339,247  
    96,800     Denka Co Ltd     2,343,747  
    13,900     Dentsu Group Inc (a)     450,119  
    3,700     DTS Corp (a)     89,279  
    2,400     Ehime Bank Ltd (The)     15,463  
     Shares     Description       
Value ($)
 
          Japan — continued      
    500     Eizo Corp     13,148  
    6,200     Exedy Corp     75,422  
    167,400     EXEO Group Inc     2,598,409  
    71,900     Ezaki Glico Co Ltd     1,876,119  
    132,000     Fuji Corp     2,013,970  
    17,900     Fuji Electric Co Ltd     741,688  
    28,100     FUJIFILM Holdings Corp (a)     1,511,560  
    12,000     Fukuoka Financial Group Inc     235,114  
    2,400     Furuno Electric Co Ltd     17,898  
    2,100     G-7 Holdings Inc     23,461  
    99,000     H.U. Group Holdings Inc (a)     2,007,932  
    6,900     Hanwa Co Ltd     181,112  
    234,300     Haseko Corp     2,590,762  
    2,500     Heiwado Co Ltd     36,983  
    52,100     Hogy Medical Co Ltd (a)     1,325,799  
    158,700     Honda Motor Co Ltd (a)     3,867,773  
    7,400     Honda Motor Co Ltd Sponsored ADR (a)     181,300  
    16,300     Hosiden Corp     194,201  
    30,300     Idemitsu Kosan Co Ltd     711,554  
    12,300     Inabata & Co Ltd     212,989  
    341,100     Inpex Corp     3,758,795  
    152,300     ITOCHU Corp (a)     4,783,298  
    5,100     Itochu Enex Co Ltd     37,859  
    600     Itochu-Shokuhin Co Ltd     22,646  
    24,000     Itoham Yonekyu Holdings Inc     119,638  
    8,000     Itoki Corp     31,381  
    5,800     Jaccs Co Ltd     165,599  
    9,400     Japan Aviation Electronics Industry Ltd     162,320  
    141,800     Japan Tobacco Inc (a)     2,901,140  
    7,100     JVCKenwood Corp     19,249  
    5,100     Kaga Electronics Co Ltd     164,541  
    63,400     Kajima Corp     717,394  
    3,500     Kamei Corp     30,764  
    7,600     Kandenko Co Ltd     48,127  
    3,400     Kaneka Corp     87,369  
    106,300     Kanematsu Corp     1,187,027  
    136,300     KDDI Corp (a)     4,054,185  
    168,600     Kirin Holdings Co Ltd     2,661,451  
    5,097     Kohnan Shoji Co Ltd     123,049  
    2,200     Kokuyo Co Ltd     29,085  
    14,401     Komeri Co Ltd     271,867  
    61,000     Konoike Transport Co Ltd (a)     706,472  
    183,500     K’s Holdings Corp     1,523,624  
    700     Kureha Corp     50,067  
    3,000     Kyokuto Kaihatsu Kogyo Co Ltd     29,926  
    96,300     Kyudenko Corp     2,316,912  
    10,000     Macnica Holdings Inc     253,454  
    88,900     Macromill Inc     725,040  
    800     Makino Milling Machine Co Ltd     27,050  
    98,800     Mandom Corp     1,041,826  
    165,900     Marubeni Corp (a)     1,876,723  
    103,000     Maruichi Steel Tube Ltd     2,142,347  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Japan — continued      
    1,000     Maruzen Showa Unyu Co Ltd     23,545  
    1,300     Matsuda Sangyo Co Ltd     21,995  
    95,200     Maxell Ltd     983,886  
    19,000     Mazda Motor Corp     151,058  
    6,600     MCJ Co Ltd     46,312  
    117,900     Mebuki Financial Group Inc     268,028  
    1,300     Melco Holdings Inc     29,549  
    32,900     Mirarth Holdings Inc     93,546  
    72,000     Mitsubishi Corp (a)     2,424,900  
    11,700     Mitsubishi Electric Corp (a)     117,255  
    10,700     Mitsubishi HC Capital Inc     51,050  
    133,300     Mitsubishi Motors Corp *     621,903  
    2,200     Mitsubishi Research Institute Inc (a)     82,640  
    2,200     Mitsubishi Shokuhin Co Ltd     52,084  
    310,700     Mitsubishi UFJ Financial Group Inc (a)     1,694,415  
    1,700     Mitsuboshi Belting Ltd     42,619  
    32,700     Mitsui & Co Ltd (a)     949,076  
    6,300     Mitsui DM Sugar Holdings Co Ltd     89,620  
    85,900     Mitsui OSK Lines Ltd (a)     2,127,600  
    3,500     Mitsui-Soko Holdings Co Ltd (a)     90,591  
    66,900     Morinaga & Co Ltd     1,802,336  
    63,900     MS&AD Insurance Group Holdings Inc (a)     1,896,634  
    2,900     Nagase & Co Ltd     42,909  
    74,000     NEC Corp (a)     2,634,441  
    77,700     NGK Spark Plug Co Ltd     1,522,413  
    90,300     NH Foods Ltd     2,431,244  
    11,900     Nichias Corp     211,197  
    4,400     Nichiha Corp     91,304  
    5,200     Nichireki Co Ltd     49,153  
    126,600     Nikon Corp     1,237,859  
    4,100     Nippn Corp     47,349  
    2,000     Nippon Densetsu Kogyo Co Ltd     24,848  
    6,100     Nippon Soda Co Ltd     190,641  
    2,300     Nippon Steel Trading Corp     85,719  
    20,900     Nippon Suisan Kaisha Ltd     79,656  
    145,900     Nippon Telegraph & Telephone Corp (a)     4,045,659  
    34,800     Nippon Television Holdings Inc     269,059  
    79,700     Nippon Yusen KK (a)     1,774,077  
    7,600     Nisshinbo Holdings Inc     56,516  
    1,500     Nissin Corp     22,329  
    8,400     Nissin Electric Co Ltd     82,706  
    2,800     Nitto Kogyo Corp     47,657  
    11,600     Nojima Corp     118,372  
    1,600     Nomura Real Estate Holdings Inc (a)     38,756  
    1,600     Noritake Co Ltd     47,284  
    225,800     Obayashi Corp     1,688,096  
    19,400     ORIX Corp (a)     314,322  
    2,500     Osaka Soda Co Ltd     75,598  
    104,400     Pacific Industrial Co Ltd     827,392  
    5,600     PAL GROUP Holdings Co Ltd     99,022  
    403,000     Penta-Ocean Construction Co Ltd     1,907,180  
    2,500     Prima Meat Packers Ltd     37,169  
     Shares     Description       
Value ($)
 
          Japan — continued      
    5,700     Proto Corp     52,564  
    20,800     Renesas Electronics Corp * (a)     204,000  
    500     Restar Holdings Corp     8,110  
    27,900     Rohm Co Ltd (a)     2,239,569  
    2,100     Roland DG Corp     47,765  
    1,800     Ryobi Ltd     16,438  
    15,600     San-A Co Ltd     495,063  
    8,800     Sanki Engineering Co Ltd     102,485  
    82,000     Sankyu Inc (a)     2,967,562  
    3,100     Sanwa Holdings Corp     29,378  
    40,600     Sawai Group Holdings Co Ltd     1,257,147  
    40,100     Secom Co Ltd (a)     2,479,184  
    10,400     Sega Sammy Holdings Inc     138,690  
    73,600     Seiko Epson Corp     1,158,195  
    4,800     Seiko Group Corp     111,524  
    9,900     Sekisui Chemical Co Ltd     140,019  
    142,800     Sekisui House Ltd (a)     2,673,740  
    2,900     Sekisui Jushi Corp     38,350  
    11,200     Shimamura Co Ltd (a)     1,016,828  
    183,400     Shimizu Corp     988,806  
    5,700     Shinmaywa Industries Ltd     42,203  
    7,700     Shizuoka Gas Co Ltd (a)     62,018  
    800     Sinanen Holdings Co Ltd     22,137  
    3,600     Sinko Industries Ltd     40,709  
    27,300     SKY Perfect JSAT Holdings Inc     101,319  
    117,960     Sojitz Corp     2,102,151  
    183,200     Stanley Electric Co Ltd     3,766,887  
    5,700     Star Micronics Co Ltd     73,302  
    50,700     Subaru Corp     868,382  
    160,800     SUMCO Corp     2,405,811  
    1,200     Sumitomo Bakelite Co Ltd     38,183  
    666,400     Sumitomo Chemical Co Ltd     2,429,583  
    114,700     Sumitomo Corp (a)     1,880,422  
    42,500     Sumitomo Forestry Co Ltd     742,056  
    95,200     Sumitomo Mitsui Financial Group Inc     3,231,157  
    84,400     Sumitomo Mitsui Trust Holdings Inc     2,706,764  
    1,500     Sumitomo Seika Chemicals Co Ltd     46,382  
    4,300     Sumitomo Warehouse Co Ltd (The) (a)     62,972  
    4,400     Suntory Beverage & Food Ltd (a)     149,942  
    271,500     T&D Holdings Inc     3,300,714  
    78,700     Tachi-S Co Ltd     631,433  
    51,100     Taisei Corp     1,553,397  
    34,300     Takara Holdings Inc     268,238  
    2,000     Takeuchi Manufacturing Co Ltd     46,552  
    161,400     Takuma Co Ltd     1,508,429  
    3,000     Tamron Co Ltd     76,198  
    223,500     Teijin Ltd     2,168,622  
    2,900     T-Gaia Corp (b)     34,869  
    115,600     THK Co Ltd     2,280,258  
    64,600     Toho Holdings Co Ltd (a)     1,005,397  
    290,500     Tokai Carbon Co Ltd     2,241,520  
    90,100     Tokyo Gas Co Ltd (a)     1,657,390  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Japan — continued      
    72,200     Tokyo Seimitsu Co Ltd     2,313,674  
    147,400     Toppan Inc     2,295,923  
    92,200     Tosei Corp (b)     945,475  
    77,000     Tosoh Corp     914,224  
    3,000     Towa Pharmaceutical Co Ltd     46,219  
    28,500     Toyo Construction Co Ltd     173,481  
    3,600     Toyota Boshoku Corp     50,571  
    52,500     Toyota Industries Corp     3,011,779  
    16,400     Toyota Tsusho Corp (a)     633,087  
    3,000     TPR Co Ltd     27,034  
    70,000     Tsumura & Co     1,533,997  
    4,400     TV Asahi Holdings Corp     44,106  
    5,500     Wacoal Holdings Corp     93,521  
    13,100     YAMABIKO Corp     108,696  
    115,000     Yamada Holdings Co Ltd (a)     398,576  
    36,300     Yamaha Motor Co Ltd     909,306  
    1,000     Yamato Kogyo Co Ltd     34,477  
    5,300     Yamazen Corp     38,783  
    4,400     Yellow Hat Ltd     55,422  
    39,900     Yokogawa Bridge Holdings Corp     563,143  
    3,500     Yokogawa Electric Corp     66,009  
    3,000     Yokohama Rubber Co Ltd (The) (b)     49,679  
    5,400     Yuasa Trading Co Ltd     141,683  
    52,900     Zenkoku Hosho Co Ltd     1,969,678  
     

 

 

 
    Total Japan     178,790,472  
     

 

 

 
          Kuwait — 0.0%      
    13,850     Humansoft Holding Co KSC     151,419  
     

 

 

 
          Malaysia — 0.1%      
    90,900     AMMB Holdings Bhd     85,567  
    58,900     Hartalega Holdings Bhd     23,041  
    64,800     Hibiscus Petroleum Bhd     16,243  
    17,700     Hong Leong Bank Bhd     83,186  
    69,700     IOI Corp Bhd     60,078  
    116,300     Kossan Rubber Industries Bhd     29,170  
    39,100     Kuala Lumpur Kepong Bhd     184,050  
    409,200     Petronas Chemicals Group Bhd     788,553  
    8,300     Petronas Gas Bhd     31,394  
    15,900     PPB Group Bhd     61,630  
    84,400     RHB Bank Bhd     106,913  
    28,200     Sime Darby Plantation Bhd     27,049  
    86,600     Telekom Malaysia Bhd     109,463  
     

 

 

 
    Total Malaysia     1,606,337  
     

 

 

 
          Mexico — 1.3%      
    18,800     Alpek SAB de CV     26,523  
    978,837     America Movil SAB de CV – Series L     951,238  
    29,739     America Movil SAB de CV – Class L Sponsored ADR     578,721  
    68,912     Arca Continental SAB de CV     573,612  
    80,100     Banco del Bajio SA     260,261  
     Shares     Description       
Value ($)
 
          Mexico — continued      
    6,100     Cemex SAB de CV Sponsored ADR *     27,877  
    1,376     Coca-Cola Femsa SAB de CV Sponsored ADR     93,995  
    495,200     Credito Real SAB de CV SOFOM ER * (e)      
    50,992     El Puerto de Liverpool SAB de CV – Class C1     296,216  
    439,088     Fomento Economico Mexicano SAB de CV     3,504,238  
    4,013     Fomento Economico Mexicano SAB de CV Sponsored ADR     320,518  
    71,600     Gentera SAB de CV     76,001  
    6,439     Grupo Aeroportuario del Centro Norte SAB de CV – Class B     55,897  
    18,855     Grupo Aeroportuario del Pacifico SAB de CV – Class B     306,259  
    9,896     Grupo Aeroportuario del Sureste SAB de CV – Class B     245,425  
    224     Grupo Aeroportuario del Sureste SAB de CV ADR     55,393  
    533,925     Grupo Financiero Banorte SAB de CV – Class O     4,285,181  
    16,656     Grupo Financiero Inbursa SAB de CV – Class O *     31,406  
    662,628     Grupo Mexico SAB de CV – Series B     2,695,983  
    35,612     Grupo Televisa SAB Sponsored ADR     194,442  
    7,245     Grupo Televisa SAB     7,979  
    24,456     Kimberly-Clark de Mexico SAB de CV – Class A     41,613  
    47,700     Qualitas Controladora SAB de CV     200,823  
    23,400     Regional SAB de CV     170,849  
    56,968     Sitios Latinoamerica SAB de CV *     25,393  
    8,151     Unifin Financiera SAB de CV SOFOM ENR *     507  
    401,268     Wal-Mart de Mexico SAB de CV     1,585,813  
     

 

 

 
    Total Mexico     16,612,163  
     

 

 

 
          Netherlands — 1.7%      
    13,672     ABN AMRO Bank NV CVA GDR     176,313  
    372,299     Aegon NV (a) (b)     1,825,183  
    1,600     AerCap Holdings NV *     98,240  
    43,150     ASR Nederland NV     1,974,920  
    51,980     EXOR NV *     4,080,429  
    9,049     ForFarmers NV (b)     27,542  
    48,350     JDE Peet’s NV     1,497,744  
    151,609     Koninklijke Ahold Delhaize NV (a)     4,418,204  
    112,316     Koninklijke Philips NV (a)     1,683,011  
    43,879     NN Group NV (a)     1,875,233  
    26,397     Prosus NV *     1,727,386  
    53,813     Randstad NV (a) (b)     3,117,032  
    12,550     Signify NV     428,640  
    1,274     Wolters Kluwer NV (a)     140,408  
     

 

 

 
    Total Netherlands     23,070,285  
     

 

 

 
          New Zealand — 0.1%      
    59,921     Auckland International Airport Ltd * (a)     305,382  
    147,126     Meridian Energy Ltd (a)     456,647  
    45,757     Spark New Zealand Ltd     149,173  
     

 

 

 
    Total New Zealand     911,202  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Norway — 0.4%      
    13,133     BW LPG Ltd     117,107  
    180,574     DNO ASA     230,776  
    129,800     Elkem ASA *     480,667  
    75,392     Equinor ASA (a)     2,903,406  
    52,495     Europris ASA     333,624  
    75,183     Norsk Hydro ASA     566,137  
    3,159     Selvaag Bolig ASA     9,301  
    4,756     SpareBank 1 Nord Norge     44,330  
    4,209     SpareBank 1 SMN     50,151  
    3,527     Stolt-Nielsen Ltd (a)     91,345  
    31,610     Wallenius Wilhelmsen ASA (a)     296,120  
     

 

 

 
    Total Norway     5,122,964  
     

 

 

 
          Panama — 0.0%      
    297,879     BAC Holding International Corp *     17,029  
     

 

 

 
          Philippines — 0.0%      
    110,400     Converge Information and Communications Technology Solutions Inc *     30,406  
    13,420     GT Capital Holdings Inc     104,587  
    758,080     Megaworld Corp     30,164  
    33,900     Puregold Price Club Inc     21,369  
     

 

 

 
    Total Philippines     186,526  
     

 

 

 
          Poland — 0.4%      
    5,274     Asseco Poland SA     86,522  
    102,737     Bank Polska Kasa Opieki SA     1,965,170  
    3,461     Budimex SA     211,730  
    32,437     Cyfrowy Polsat SA     136,000  
    3,450     KGHM Polska Miedz SA     91,327  
    39     LPP SA     84,540  
    14,558     Orange Polska SA     20,504  
    113,384     Polski Koncern Naftowy ORLEN SA     1,668,921  
    51,778     Powszechny Zaklad Ubezpieczen SA     370,663  
     

 

 

 
    Total Poland     4,635,377  
     

 

 

 
          Portugal — 0.5%      
    31,475     Altri SGPS SA     184,382  
    218,698     EDP – Energias de Portugal SA     1,037,731  
    268,035     Galp Energia SGPS SA     3,302,640  
    21,622     Jeronimo Martins SGPS SA     482,420  
    98,216     Navigator Co SA (The)     398,960  
    61,689     NOS SGPS SA     247,811  
    566,079     Sonae SGPS SA     575,060  
     

 

 

 
    Total Portugal     6,229,004  
     

 

 

 
          Qatar — 0.1%      
    29,310     Ooredoo QPSC     71,498  
    7,568     Qatar Gas Transport Co Ltd     8,284  
    163,520     Qatar National Bank QPSC     884,059  
     Shares     Description       
Value ($)
 
          Qatar — continued      
    14,520     Qatar National Cement Co QSC     18,361  
     

 

 

 
    Total Qatar     982,202  
     

 

 

 
          Russia — 0.2%      
    3,038,020     Alrosa PJSC (e) (f)     226,235  
    10,190     Detsky Mir PJSC * (e)     815  
    148,200,000     Federal Grid Co Unified Energy System PJSC * (e)     14,671  
    68,395     Fix Price Group Ltd GDR * (e)     16,912  
    180,610     Gazprom Neft PJSC (e)     96,895  
    2,050,858     Gazprom PJSC (e)     394,511  
    7,736     Globaltrans Investment Plc Sponsored GDR (Registered) * (e)     2,873  
    6,310,100     Inter RAO UES PJSC (e)     23,741  
    19,776     LSR Group PJSC – Class A * (e)     10,630  
    1     LSR Group PJSC GDR (Registered) (e)      
    74,944     LUKOIL PJSC (e)     395,272  
    1,561     Magnit PJSC (e)     8,586  
    1,863,335     Magnitogorsk Iron & Steel Works PJSC (e) (f)     66,782  
    25,400     Mechel PJSC * (e)     2,957  
    4,554     MMC Norilsk Nickel PJSC (e)     74,616  
    1     MMC Norilsk Nickel PJSC ADR * (c)     2  
    16,770     Mobile TeleSystems PJSC (e)     4,529  
    20,400     Mobile TeleSystems PJSC ADR * (e)     11,042  
    361,420     Moscow Exchange MICEX-RTS PJSC * (e)     35,981  
    3,294,000     Mosenergo PJSC * (e)     6,575  
    75,720     Novatek PJSC (e)     89,583  
    1,212,010     Novolipetsk Steel PJSC (e)     147,312  
    3,466     PhosAgro PJSC (e)     25,564  
    67     PhosAgro PJSC GDR (e) (f)     165  
    130,264     Polymetal International Plc *     377,735  
    10,215     Polyus PJSC * (e)     84,365  
    5,248     Ros Agro Plc GDR (Registered) * (e)     4,527  
    1,879,040     ROSSETI PJSC * (e)     1,235  
    24,471,200     RusHydro PJSC (e)     21,168  
    3,677,652     Sberbank of Russia PJSC * (e) (f)     571,653  
    425     Severstal PAO * (e) (f)     384  
    91,185     Severstal PJSC GDR (Registered) (e) (f)     82,549  
    11,580     SFI PJSC * (e)     6,054  
    5,940,620     Surgutneftegas PJSC (e)     147,189  
    332,388     Tatneft PJSC (e)     138,821  
    1,300,440     Unipro PJSC (e)     2,066  
    50,950     United Co Rusal International PJSC (e)     2,239  
    8,456     X5 Retail Group NV GDR (Registered) (e)     9,707  
     

 

 

 
    Total Russia     3,105,941  
     

 

 

 
          Saudi Arabia — 0.2%      
    15,086     Almarai Co JSC     214,902  
    97,196     Saudi Arabian Oil Co     869,480  
    45,475     Saudi Basic Industries Corp     1,012,726  
    53,215     Saudi Telecom Co     547,049  
     

 

 

 
    Total Saudi Arabia     2,644,157  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Singapore — 0.8%      
    51,300     AIMS APAC (REIT)     45,446  
    39,000     Bumitama Agri Ltd     17,613  
    80,000     City Developments Ltd     491,488  
    251,500     ComfortDelGro Corp Ltd     228,791  
    112,535     DBS Group Holdings Ltd     2,934,772  
    187,200     First Real Estate Investment Trust (b)     33,117  
    1,318,100     Golden Agri-Resources Ltd     281,383  
    161,540     Japfa Ltd     60,934  
    43,216     Jardine Cycle & Carriage Ltd (b)     963,880  
    265,800     Keppel Corp Ltd     1,483,570  
    51,220     Lendlease Global Commercial (REIT)     27,438  
    40,900     Sasseur Real Estate Investment Trust     23,476  
    37,700     Sheng Siong Group Ltd     45,721  
    237,800     Silverlake Axis Ltd     65,893  
    11,100     Singapore Exchange Ltd     74,297  
    114,700     StarHub Ltd     90,654  
    9,200     United Overseas Bank Ltd     212,129  
    42,300     UOL Group Ltd     208,600  
    7,400     Venture Corp Ltd     95,011  
    138,700     Wilmar International Ltd     420,751  
    1,676,099     Yangzijiang Financial Holding Ltd *     428,787  
    2,244,199     Yangzijiang Shipbuilding Holdings Ltd     2,376,766  
    154,600     Yanlord Land Group Ltd     112,311  
     

 

 

 
    Total Singapore     10,722,828  
     

 

 

 
          South Africa — 1.2%      
    274,815     Absa Group Ltd     3,295,367  
    9,184     African Rainbow Minerals Ltd     159,051  
    12,489     Anglo American Platinum Ltd     1,262,321  
    2,455     Aspen Pharmacare Holdings Ltd     20,373  
    10,455     Astral Foods Ltd     102,128  
    3,066     AVI Ltd     13,155  
    37,545     Barloworld Ltd     227,602  
    78,339     Bidvest Group Ltd (The)     1,053,525  
    77,272     Blue Label Telecoms Ltd *     23,381  
    3,429     Capitec Bank Holdings Ltd     407,108  
    1,441     Clicks Group Ltd     24,790  
    379,023     FirstRand Ltd     1,473,063  
    32,778     Foschini Group Ltd (The)     199,829  
    13,000     Gold Fields Ltd Sponsored ADR     144,950  
    33,283     Impala Platinum Holdings Ltd     404,508  
    27,160     Investec Ltd     163,929  
    55,493     Kumba Iron Ore Ltd     1,567,743  
    17,129     Lewis Group Ltd     49,321  
    15,058     Metair Investments Ltd     24,107  
    29,618     Motus Holdings Ltd     202,180  
    40,792     Mr Price Group Ltd     398,692  
    84,963     MTN Group Ltd     696,242  
    9,954     MultiChoice Group     68,984  
    9,909     Nedbank Group Ltd     130,980  
    9,707     Ninety One Ltd     22,671  
     Shares     Description       
Value ($)
 
          South Africa — continued      
    358,966     Old Mutual Ltd     230,590  
    301,368     Pepkor Holdings Ltd     387,899  
    8,062     Raubex Group Ltd     12,989  
    825     Reinet Investments SCA     14,564  
    20,426     Reunert Ltd     56,627  
    257,788     RMB Holdings Ltd     9,129  
    54,961     Sanlam Ltd     180,467  
    60,287     Sappi Ltd     171,448  
    1,581     Shoprite Holdings Ltd     23,071  
    58,781     Sibanye Stillwater Ltd     163,553  
    22,800     Sibanye Stillwater Ltd ADR     255,588  
    94,907     Telkom SA SOC Ltd *     191,564  
    6,538     Thungela Resources Ltd     119,340  
    19,370     Tiger Brands Ltd     218,498  
    194,175     Truworths International Ltd     643,291  
    45,534     Vodacom Group Ltd     331,620  
    108,958     Woolworths Holdings Ltd     414,906  
     

 

 

 
    Total South Africa     15,561,144  
     

 

 

 
          South Korea — 3.3%      
    1,819     Alteogen Inc *     50,549  
    1,287     AMOREPACIFIC Group     30,886  
    196     BGF retail Co Ltd     30,760  
    6,413     BH Co Ltd     129,602  
    123,371     BNK Financial Group Inc     699,104  
    7,334     Cheil Worldwide Inc     136,029  
    383     CJ CheilJedang Corp     115,520  
    313     CJ ENM Co Ltd     19,888  
    318     CJ Logistics Corp *     21,315  
    6,844     Coway Co Ltd     301,319  
    889     Daihan Pharmaceutical Co Ltd     20,444  
    8,035     Daou Data Corp     172,974  
    2,744     DB HiTek Co Ltd     95,189  
    3,823     DB Insurance Co Ltd     181,714  
    21,976     DGB Financial Group Inc     133,153  
    976     DL E&C Co Ltd     31,521  
    49,509     Dongwon Development Co Ltd     135,975  
    4,011     Doosan Bobcat Inc     109,789  
    4,460     E-MART Inc     315,483  
    166     Green Cross Corp     16,237  
    3,317     GS Engineering & Construction Corp     59,991  
    13,118     GS Holdings Corp     487,583  
    2,753     GS Retail Co Ltd     62,801  
    50,426     Hana Financial Group Inc     1,724,672  
    1,994     Handsome Co Ltd     39,606  
    31,985     Hankook Tire & Technology Co Ltd     835,352  
    28,766     HDC Hyundai Development Co-Engineering & Construction     244,636  
    1,985     HMM Co Ltd     34,210  
    2,813     Hyundai Department Store Co Ltd     129,945  
    12,350     Hyundai Engineering & Construction Co Ltd     390,376  
    5,202     Hyundai Glovis Co Ltd     705,698  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          South Korea — continued      
    1,022     Hyundai Home Shopping Network Corp     38,763  
    1,286     Hyundai Marine & Fire Insurance Co Ltd     29,664  
    11,046     Hyundai Mobis Co Ltd     1,807,993  
    1,318     INTOPS Co Ltd     30,475  
    24,197     JB Financial Group Co Ltd     155,659  
    12,395     KB Financial Group Inc     492,177  
    4,000     KB Financial Group Inc ADR     157,640  
    3,100     KC Co Ltd     43,295  
    401     KCC Corp     73,798  
    1,095     KCC Glass Corp     34,411  
    104,615     Kia Corp     5,509,434  
    926     KIWOOM Securities Co Ltd     65,695  
    187     Korea Investment Holdings Co Ltd     8,312  
    895     Korea Petrochemical Ind Co Ltd     111,642  
    6,570     Korea Real Estate Investment & Trust Co Ltd     7,015  
    1,137     Korea Zinc Co Ltd     549,681  
    20,967     KT Skylife Co Ltd     137,521  
    74,067     KT&G Corp     5,620,136  
    5,061     Kumho Petrochemical Co Ltd     582,159  
    2,360     LF Corp     29,051  
    8,933     LG Corp     576,093  
    44,277     LG Electronics Inc     3,341,125  
    234     LG H&H Co Ltd     118,086  
    10,450     LOTTE Fine Chemical Co Ltd     500,544  
    7,883     LX International Corp     248,398  
    3,863     LX Semicon Co Ltd     263,584  
    822     Meritz Financial Group Inc     23,949  
    94     NCSoft Corp     34,052  
    1,743     NH Investment & Securities Co Ltd     12,864  
    649     Orion Corp     58,279  
    5,323     POSCO Holdings Inc     1,218,435  
    34,446     POSCO Holdings Inc Sponsored ADR (a)     1,965,489  
    3,147     PSK Inc     43,704  
    1,056     Samjin Pharmaceutical Co Ltd     21,010  
    115,782     Samsung Electronics Co Ltd     5,563,204  
    1,454     Samsung Electronics Co Ltd GDR (Registered) (a)     1,727,140  
    94     Samsung Fire & Marine Insurance Co Ltd     14,754  
    1,213     Samsung SDS Co Ltd     118,525  
    12,731     SD Biosensor Inc     322,092  
    787     Sebang Global Battery Co Ltd     29,279  
    5,854     Seegene Inc     137,028  
    43,125     Shinhan Financial Group Co Ltd     1,250,199  
    309     SK Chemicals Co Ltd     21,096  
    25,209     SK Square Co Ltd *     730,371  
    7,093     SK Telecom Co Ltd Sponsored ADR     152,145  
    5,883     SL Corp     127,079  
    136,243     Woori Financial Group Inc     1,361,059  
    41,140     Woori Technology Investment Co Ltd *     142,268  
    6,570     Youngone Corp     239,391  
     

 

 

 
    Total South Korea     43,308,084  
     

 

 

 
     Shares     Description       
Value ($)
 
          Spain — 1.7%      
    207,000     Acerinox SA     2,047,860  
    42,139     Amadeus IT Group SA * (a)     2,278,351  
    35,785     Atresmedia Corp de Medios de Comunicacion SA     125,807  
    907,632     Banco Bilbao Vizcaya Argentaria SA     5,348,713  
    3,351,275     Banco de Sabadell SA     3,129,149  
    848,946     Banco Santander SA     2,533,114  
    90,446     Bankinter SA     594,870  
    49,032     CaixaBank SA (a)     182,292  
    18,156     Cia de Distribucion Integral Logista Holdings SA (a)     428,230  
    33,188     Ence Energia y Celulosa SA     109,953  
    33,423     Faes Farma SA     128,470  
    1,233     Grupo Catalana Occidente SA     39,001  
    83,139     Industria de Diseno Textil SA (a)     2,170,244  
    10,082     Mediaset Espana Comunicacion SA *     33,579  
    156,663     Repsol SA     2,418,927  
    130,830     Telefonica SA (a)     488,346  
    69,606     Unicaja Banco SA     71,963  
     

 

 

 
    Total Spain     22,128,869  
     

 

 

 
          Sweden — 0.6%      
    88,506     Fastighets AB Balder – B Shares *     397,879  
    18,054     Industrivarden AB – A Shares (a)     465,939  
    36,780     Industrivarden AB – C Shares (a) (b)     942,181  
    46,981     Investor AB – A Shares     904,604  
    57,234     Investor AB – B Shares (a)     1,065,174  
    21,646     Inwido AB     217,969  
    68,220     Kinnevik AB – Class B *     1,051,603  
    16,304     New Wave Group AB – B Shares     330,368  
    37,085     Skanska AB – B Shares     603,719  
    237,859     SSAB AB – A Shares     1,377,382  
    51,144     SSAB AB – B Shares     289,145  
    16,663     Svenska Cellulosa AB SCA – Class B     226,562  
    27,307     Telefonaktiebolaget LM Ericsson – B Shares     172,352  
     

 

 

 
    Total Sweden     8,044,877  
     

 

 

 
          Switzerland — 0.8%      
    51,076     Adecco Group AG (Registered)     1,736,411  
    956     DKSH Holding AG     72,083  
    31,980     Logitech International SA (Registered) (b)     1,938,864  
    6,408     Mobilezone Holding AG (Registered)     111,635  
    417     Roche Holding AG (a)     167,515  
    8,917     Roche Holding AG – Genusschein (a)     2,912,505  
    1,848     u-blox Holding AG *     240,596  
    152,122     UBS Group AG (Registered) (a)     2,807,058  
    1,582     Zurich Insurance Group AG (a)     760,051  
     

 

 

 
    Total Switzerland     10,746,718  
     

 

 

 
          Taiwan — 3.3%      
    42,560     Acer Inc     34,157  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Taiwan — continued      
    14,414     Acter Group Corp Ltd     47,256  
    328,650     AmTRAN Technology Co Ltd     103,809  
    39,800     ASE Technology Holding Co Ltd ADR (a)     270,640  
    3,000     ASMedia Technology Inc     71,929  
    418,035     Asustek Computer Inc     3,633,602  
    19,000     Aten International Co Ltd     47,685  
    8,400     Aurora Corp     21,413  
    338,000     Catcher Technology Co Ltd     2,016,182  
    705,399     Cathay Financial Holding Co Ltd     1,003,824  
    43,367     Chailease Holding Co Ltd     286,239  
    170,000     Chicony Electronics Co Ltd     460,517  
    214,000     Chipbond Technology Corp     406,752  
    9,280     Chong Hong Construction Co Ltd     21,687  
    53,200     Chunghwa Telecom Co Ltd     195,824  
    2,500     Chunghwa Telecom Co Ltd Sponsored ADR (a)     91,300  
    582,000     Compal Electronics Inc     409,843  
    48,440     Coretronic Corp     91,717  
    18,640     Elan Microelectronics Corp     54,824  
    11,760     Elite Material Co Ltd     73,860  
    5,000     Elite Semiconductor Microelectronics Technology Inc     12,076  
    376,200     Evergreen Marine Corp Taiwan Ltd     2,019,724  
    256,000     Far EasTone Telecommunications Co Ltd     565,268  
    91,000     Farglory Land Development Co Ltd     161,527  
    2,600     First Financial Holding Co Ltd     2,219  
    43,701     FLEXium Interconnect Inc     152,656  
    181,000     Formosa Plastics Corp     530,892  
    120,821     Foxconn Technology Co Ltd     205,371  
    920,765     Fubon Financial Holding Co Ltd     1,828,840  
    6,080     Fusheng Precision Co Ltd     42,802  
    9,000     Gamania Digital Entertainment Co Ltd     19,629  
    11,560     Getac Technology Corp     16,077  
    15,000     Gigabyte Technology Co Ltd     53,461  
    265,000     Grand Pacific Petrochemical     179,927  
    13,000     Holtek Semiconductor Inc     30,314  
    1,776,318     Hon Hai Precision Industry Co Ltd     5,816,173  
    69,000     Huaku Development Co Ltd     199,617  
    33,687     Innodisk Corp     206,571  
    12,109     International Games System Co Ltd     153,791  
    63,000     King’s Town Bank Co Ltd     71,448  
    31,000     Kung Long Batteries Industrial Co Ltd     138,852  
    21,000     Largan Precision Co Ltd     1,582,260  
    422,000     Lite-On Technology Corp     900,611  
    4,807     Makalot Industrial Co Ltd     36,596  
    109,000     MediaTek Inc     2,633,854  
    5,408     Merry Electronics Co Ltd     15,539  
    216,000     Micro-Star International Co Ltd     870,499  
    99,000     Mitac Holdings Corp     95,882  
    147,280     Nan Ya Plastics Corp     368,372  
    77,903     Nantex Industry Co Ltd     98,508  
    85,000     Nanya Technology Corp     158,620  
    26,000     Nichidenbo Corp     44,197  
     Shares     Description       
Value ($)
 
          Taiwan — continued      
    4,800     Nien Made Enterprise Co Ltd     45,568  
    122,000     Novatek Microelectronics Corp     1,195,389  
    51,000     Phison Electronics Corp     547,738  
    625,000     Pou Chen Corp     658,280  
    26,000     Powertech Technology Inc     70,911  
    64,000     Primax Electronics Ltd     120,767  
    44,000     Quanta Computer Inc     102,552  
    130,472     Radiant Opto-Electronics Corp     446,199  
    3,000     Raydium Semiconductor Corp     30,700  
    6,000     Realtek Semiconductor Corp     62,376  
    244,200     Ruentex Development Co Ltd     368,627  
    259,400     Ruentex Industries Ltd     561,924  
    31,760     Shin Zu Shing Co Ltd     87,663  
    68,000     Shinkong Insurance Co Ltd     110,027  
    24,900     Simplo Technology Co Ltd     246,748  
    7,945     Sinmag Equipment Corp     22,112  
    2,000     Soft-World International Corp     5,062  
    28,080     Syncmold Enterprise Corp     53,538  
    12,000     TaiDoc Technology Corp     71,831  
    181,000     Taiwan Semiconductor Manufacturing Co Ltd     2,906,833  
    30,042     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR (a)     2,492,885  
    22,400     Teco Electric and Machinery Co Ltd     20,552  
    7,360     Test Research Inc     15,738  
    36,681     TOPBI International Holdings Ltd *     14,590  
    40,000     Transcend Information Inc     88,082  
    49,000     Tripod Technology Corp     154,690  
    13,000     Tung Ho Steel Enterprise Corp     22,675  
    37,624     United Integrated Services Co Ltd     219,947  
    148,000     Universal Inc     118,477  
    214,850     Wan Hai Lines Ltd     537,948  
    298,000     Winbond Electronics Corp     208,030  
    286,000     Wistron Corp     256,903  
    116,000     WPG Holdings Ltd     183,115  
    983,000     Yang Ming Marine Transport Corp     2,138,629  
    1,573,000     Yuanta Financial Holding Co Ltd     1,157,393  
    6,000     Yulon Nissan Motor Co Ltd     40,995  
    9,669     Zeng Hsing Industrial Co Ltd     36,697  
    40,000     Zhen Ding Technology Holding Ltd     156,659  
     

 

 

 
    Total Taiwan     44,134,083  
     

 

 

 
          Thailand — 0.9%      
    2,229,700     AP Thailand Pcl NVDR     641,846  
    513,400     Bangkok Bank Pcl NVDR     2,109,420  
    234,200     Bangkok Dusit Medical Services Pcl NVDR     201,756  
    32,300     CP ALL Pcl (Foreign Registered)     59,801  
    34,600     CP ALL Pcl NVDR     64,060  
    69,100     GFPT Pcl NVDR     26,766  
    10,300     Kasikornbank Pcl (Foreign Registered)     42,442  
    608,400     Kasikornbank Pcl NVDR     2,506,976  
    87,000     Kiatnakin Phatra Bank Pcl NVDR     177,461  
    6,653,900     Krung Thai Bank Pcl NVDR     3,339,165  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Thailand — continued      
    53,632     Pruksa Holding Pcl NVDR     18,462  
    73,000     PTG Energy Pcl NVDR     30,849  
    281,000     PTT Exploration & Production Pcl NVDR     1,498,296  
    47,400     Regional Container Lines Pcl NVDR     40,645  
    3,851,300     Sansiri Pcl NVDR     172,381  
    141,300     Somboon Advance Technology Pcl NVDR     88,724  
    270,400     Sri Trang Gloves Thailand Pcl NVDR     76,931  
    23,760     Supalai Pcl (Foreign Registered)     15,529  
    62,524     Supalai Pcl NVDR     40,863  
    82,700     Thai Oil Pcl NVDR     130,709  
    88,000     Thai Vegetable Oil Pcl NVDR     70,593  
     

 

 

 
    Total Thailand     11,353,675  
     

 

 

 
          Turkey — 0.7%      
    4,346,935     Akbank TAS     4,066,084  
    113,472     Arcelik AS     563,290  
    339,228     Aselsan Elektronik Sanayi Ve Ticaret AS     887,701  
    12,363     Dogus Otomotiv Servis ve Ticaret AS     104,481  
    105,457     Enerjisa Enerji AS     164,649  
    401,627     Haci Omer Sabanci Holding AS     913,479  
    159,553     KOC Holding AS     607,588  
    580,824     Turkiye Garanti Bankasi AS     839,853  
    974,065     Turkiye Is Bankasi AS – Class C     548,187  
    73,176     Vestel Elektronik Sanayi ve Ticaret AS     235,828  
    387,322     Yapi ve Kredi Bankasi AS     251,382  
     

 

 

 
    Total Turkey     9,182,522  
     

 

 

 
          United Arab Emirates — 0.0%      
    300,669     Abu Dhabi National Oil Co for Distribution PJSC     373,130  
    52,716     Emaar Development PJSC *     60,445  
    60,948     Emaar Properties PJSC     101,333  
     

 

 

 
    Total United Arab Emirates     534,908  
     

 

 

 
          United Kingdom — 3.9%      
    144,532     3i Group Plc (a)     2,374,728  
    3,173     AG Barr Plc     19,223  
    191,969     Airtel Africa Plc     287,123  
    32,573     BAE Systems Plc (a)     322,594  
    79,624     Balfour Beatty Plc     311,756  
    4,859     Bank of Georgia Group Plc     148,218  
    467,944     Barratt Developments Plc     2,262,871  
    40,282     Bellway Plc     978,819  
    71,194     Berkeley Group Holdings Plc     3,301,525  
    87,700     BP Plc Sponsored ADR (a)     3,148,430  
    49,574     British American Tobacco Plc (a)     2,032,634  
    39,600     British American Tobacco Plc Sponsored ADR (a)     1,634,292  
    2,171,246     BT Group Plc     3,195,012  
    19,796     Bunzl Plc     732,116  
    596,976     Centrica Plc (a)     689,163  
    2,505     Clarkson Plc (a)     93,502  
     Shares     Description       
Value ($)
 
          United Kingdom — continued      
    16,039     CMC Markets Plc     45,943  
    63,769     Coats Group Plc     51,620  
    113,106     Coca-Cola HBC AG *     2,766,674  
    191,485     Compass Group Plc (a)     4,365,462  
    35,626     Crest Nicholson Holdings Plc     98,610  
    3,800     EMIS Group Plc (a)     86,132  
    23,265     Evraz Plc (e)     574  
    217,661     Ferrexpo Plc     379,124  
    1,720     Galliford Try Holdings Plc     3,261  
    15,360     GSK Plc Sponsored ADR (a)     531,302  
    21,500     Haleon Plc ADR * (a)     148,135  
    55,459     Halfords Group Plc     130,559  
    87,293     IG Group Holdings Plc     868,351  
    81,442     Imperial Brands Plc (a)     2,094,775  
    4,947     Inchcape Plc (a)     50,102  
    24,001     Indivior Plc *     497,785  
    20,749     International Personal Finance Plc     19,630  
    136,342     Investec Plc     861,101  
    4,789     Keller Group Plc     42,442  
    491,424     Kingfisher Plc     1,437,119  
    269,923     Legal & General Group Plc (a)     828,014  
    911,388     M&G Plc     2,129,619  
    13,089     Morgan Advanced Materials Plc     48,206  
    11,562     Morgan Sindall Group Plc     228,553  
    88,646     OSB Group Plc     510,324  
    12,678     Paragon Banking Group Plc     72,506  
    85,408     Persimmon Plc     1,322,871  
    69,441     Plus500 Ltd     1,594,057  
    35,451     Redde Northgate Plc (a)     162,288  
    101,597     Redrow Plc     559,810  
    197,393     S4 Capital Plc *     455,763  
    58,036     Serica Energy Plc     221,752  
    95,106     Shell Plc (a)     2,783,353  
    47,117     Spirent Communications Plc     164,203  
    23,834     Standard Chartered Plc     177,540  
    472,355     Taylor Wimpey Plc     595,370  
    3,340     TBC Bank Group Plc     88,561  
    19,589     Unilever Plc (a)     979,472  
    11,263     Vesuvius Plc     52,025  
    111,200     Vodafone Group Plc Sponsored ADR (a)     1,248,776  
    14,969     Wickes Group Plc     24,998  
    87,354     WPP Plc (a)     918,063  
     

 

 

 
    Total United Kingdom     51,176,831  
     

 

 

 
          United States — 14.0%      
    3,400     3M Co. (a)     428,298  
    6,669     ADTRAN Holdings, Inc.     135,181  
    15,000     Aflac, Inc. (a)     1,078,950  
    51,100     Ally Financial, Inc. (a)     1,380,211  
    20,883     Alphabet, Inc. – Class A * (a)     2,108,974  
    18,642     American Express Co. (a)     2,937,793  
    40,300     AppLovin Corp. – Class A * (a)     580,723  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — continued      
    16,700     Arrow Electronics, Inc. *     1,815,958  
    57,800     AT&T, Inc. (a)     1,114,384  
    22,100     Best Buy Co., Inc. (a)     1,885,130  
    7,000     Biogen, Inc. * (a)     2,136,190  
    3,600     Bio-Rad Laboratories, Inc. – Class A *     1,492,956  
    1,238     Booking Holdings, Inc. * (a)     2,574,359  
    107,423     BorgWarner, Inc.     4,566,552  
    15,400     Capital One Financial Corp. (a)     1,589,896  
    8,810     CarMax, Inc. * (a)     611,062  
    42,000     Carrier Global Corp. (a)     1,861,440  
    20,700     CBRE Group, Inc. – Class A * (a)     1,647,720  
    22,900     Centene Corp. * (a)     1,993,445  
    15,388     Chevron Corp. (a)     2,820,774  
    3,200     Cigna Corp. (a)     1,052,448  
    36,700     Citigroup, Inc. (a)     1,776,647  
    107,000     Cleveland-Cliffs, Inc. *     1,656,360  
    27,200     Cognizant Technology Solutions Corp. – Class A (a)     1,692,112  
    53,000     Comcast Corp. – Class A (a)     1,941,920  
    13,200     CVS Health Corp. (a)     1,344,816  
    41,604     Darling Ingredients, Inc. *     2,988,415  
    41,400     Dell Technologies, Inc. – Class C     1,854,306  
    14,000     Discover Financial Services (a)     1,517,040  
    102,500     DISH Network Corp. – Class A * (a)     1,645,125  
    23,700     DR Horton, Inc. (a)     2,038,200  
    38,500     eBay, Inc. (a)     1,749,440  
    27,449     EOG Resources, Inc. (a)     3,895,837  
    38,600     Exelon Corp. (a)     1,596,882  
    9,500     FedEx Corp. (a)     1,731,090  
    41,800     Fidelity National Financial, Inc. (a)     1,687,048  
    121,800     Ford Motor Co. (a)     1,693,020  
    24,200     Fortune Brands Home & Security, Inc.     1,581,228  
    10,200     Fox Corp. – Class A (a)     330,990  
    61,900     Fox Corp. – Class B (a)     1,889,188  
    65,200     Franklin Resources, Inc. (a)     1,748,012  
    3,100     Garmin Ltd. (a)     288,269  
    45,100     General Motors Co.     1,829,256  
    7,300     Gilead Sciences, Inc. (a)     641,159  
    1,600     Goldman Sachs Group, Inc. (The) (a)     617,840  
    31,279     Green Plains, Inc. *     1,081,002  
    4,400     Henry Schein, Inc. * (a)     356,048  
    18,449     Hilton Worldwide Holdings, Inc. (a)     2,631,196  
    58,500     HP, Inc.     1,757,340  
    30,600     IAC, Inc. * (a)     1,587,834  
    24,400     Incyte Corp. * (a)     1,943,948  
    60,000     Intel Corp. (a)     1,804,200  
    30,392     Intercontinental Exchange, Inc. (a)     3,291,757  
    15,300     International Business Machines Corp. (a)     2,278,170  
    73,500     Invesco Ltd.     1,404,585  
    12,800     Jazz Pharmaceuticals Plc *     2,008,448  
    113,900     Kinder Morgan, Inc. (a)     2,177,768  
    22,400     Knight-Swift Transportation Holdings, Inc. (a)     1,241,632  
     Shares     Description       
Value ($)
 
          United States — continued      
    38,900     Kraft Heinz Co. (The) (a)     1,530,715  
    10,600     Kroger Co. (The) (a)     521,414  
    8,300     Laboratory Corp. of America Holdings (a)     1,997,810  
    3,370     Lam Research Corp. (a)     1,591,921  
    47,573     Las Vegas Sands Corp. * (a)     2,228,319  
    22,900     Lennar Corp. – Class A     2,011,307  
    18,900     Liberty Global Plc – Class A *     379,512  
    38,900     Liberty Global Plc – Class C *     804,452  
    39,100     Lincoln National Corp.     1,522,554  
    196,000     Lumen Technologies, Inc.     1,072,120  
    20,800     LyondellBasell Industries NV – Class A (a)     1,768,208  
    2,070     Markel Corp. *     2,742,419  
    15,000     Match Group, Inc. * (a)     758,400  
    26,122     Meta Platforms, Inc. – Class A * (a)     3,085,008  
    9,800     MetLife, Inc. (a)     751,660  
    52,284     Micron Technology, Inc. (a)     3,014,173  
    15,400     Mohawk Industries, Inc. *     1,560,482  
    35,100     Molson Coors Brewing Co. – Class B (a)     1,934,361  
    26,200     Mosaic Co. (The) (a)     1,344,060  
    32,800     NRG Energy, Inc. (a)     1,392,360  
    12,100     Nucor Corp. (a)     1,814,395  
    12,300     Occidental Petroleum Corp.     854,727  
    20,500     Oracle Corp. (a)     1,702,115  
    21,295     Otis Worldwide Corp. (a)     1,662,926  
    2,800     PACCAR, Inc. (a)     296,548  
    89,900     Paramount Global – Class B (a)     1,805,192  
    21,200     PayPal Holdings, Inc. * (a)     1,662,292  
    24,900     Pfizer, Inc. (a)     1,248,237  
    17,600     Prudential Financial, Inc. (a)     1,901,328  
    39,900     PulteGroup, Inc.     1,786,722  
    1,000     Quest Diagnostics, Inc. (a)     151,830  
    34,987     Raytheon Technologies Corp. (a)     3,453,917  
    2,900     Regeneron Pharmaceuticals, Inc. * (a)     2,179,930  
    7,900     Resolute Forest Products, Inc. *     166,381  
    35,261     Sensata Technologies Holding Plc     1,590,271  
    10,300     Skyworks Solutions, Inc. (a)     984,886  
    12,900     SS&C Technologies Holdings, Inc. (a)     693,504  
    3,200     Stanley Black & Decker, Inc.     261,504  
    20,400     Steel Dynamics, Inc. (a)     2,120,172  
    46,700     Synchrony Financial (a)     1,754,986  
    19,400     Textron, Inc. (a)     1,384,772  
    23,400     Tyson Foods, Inc. – Class A (a)     1,550,952  
    800     United Parcel Service, Inc. – Class B (a)     151,784  
    15,500     Universal Health Services, Inc. – Class B (a)     2,028,175  
    59,023     US Bancorp (a)     2,679,054  
    42,700     Verizon Communications, Inc. (a)     1,664,446  
    5,300     Vertex Pharmaceuticals, Inc. * (a)     1,676,920  
    158,700     Viatris, Inc.     1,750,461  
    43,800     Walgreens Boots Alliance, Inc. (a)     1,817,700  
    20,248     Warner Bros Discovery, Inc. * (a)     230,827  
    64,600     Wells Fargo & Co. (a)     3,097,570  
    108,300     Western Union Co. (The) (a)     1,587,678  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — continued      
    40,400     Western Digital Corp. *     1,484,700  
    13,800     Westlake Corp.     1,485,570  
    10,500     Whirlpool Corp.     1,538,565  
    19,200     Zoom Video Communications, Inc. – Class A * (a)     1,448,256  
     

 

 

 
    Total United States     184,791,120  
     

 

 

 
          Vietnam — 0.3%      
    228,600     Duc Giang Chemicals JSC     570,747  
    718,700     Hoa Phat Group JSC     540,834  
    305,600     Hoa Sen Group *     140,979  
    110,400     IDICO Corp JSC     161,748  
    362,100     Nam Kim Steel JSC     163,079  
    7,900     PetroVietnam Technical Services Corp     6,817  
    428,365     Saigon – Hanoi Commercial Joint Stock Bank *     177,756  
    705,400     SSI Securities Corp     558,069  
    153,300     Vietnam Dairy Products JSC     517,165  
    419,100     Vietnam Joint Stock Commercial Bank for Industry and Trade     468,050  
    54,800     Vinhomes JSC     121,846  
    1,443,600     VNDirect Securities Corp     808,333  
     

 

 

 
    Total Vietnam     4,235,423  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $1,047,457,271)
    917,468,112  
     

 

 

 
          PREFERRED STOCKS (g) — 1.5%      
          Brazil — 1.1%      
    41,600     Banco do Estado do Rio Grande do Sul SA – Class B     79,924  
    396,417     Bradespar SA     2,161,851  
    311,500     Cia Energetica de Minas Gerais     689,107  
    35,100     Cia Energetica de Minas Gerais Sponsored ADR (a)     76,869  
    850,600     Cia Paranaense de Energia – Class B     1,324,414  
    70,500     Gerdau SA     428,895  
    110,067     Gerdau SA Sponsored ADR     671,409  
    46,300     Itau Unibanco Holding SA     231,975  
    302,200     Itau Unibanco Holding SA Sponsored ADR     1,504,956  
    848,000     Petroleo Brasileiro SA     4,356,553  
    255,500     Petroleo Brasileiro SA Sponsored ADR     2,618,875  
    397     Unipar Carbocloro SA – Class B     7,435  
     

 

 

 
    Total Brazil     14,152,263  
     

 

 

 
          Colombia — 0.0%      
    297,879     Grupo Aval Acciones y Valores SA     34,428  
     

 

 

 
          Germany — 0.2%      
    14,456     Bayerische Motoren Werke AG (a)     1,254,404  
    2,245     Draegerwerk AG & Co KGaA (a)     101,754  
    1,552     Villeroy & Boch AG     27,130  
    7,307     Volkswagen AG (a)     1,079,322  
     

 

 

 
    Total Germany     2,462,610  
     

 

 

 
     Shares /
Par Value†
    Description       
Value ($)
 
          Russia — 0.0%      
    12,924     Bashneft PJSC (e)     10,303  
    56,000     Nizhnekamskneftekhim PJSC (e)     4,517  
    20,810     Sberbank of Russia PJSC * (e) (f)     3,119  
    9,254,300     Surgutneftegas PJSC (e)     263,473  
    161     Transneft PJSC (e)     16,344  
     

 

 

 
    Total Russia     297,756  
     

 

 

 
          South Korea — 0.2%      
    2,160     Hyundai Motor Co GDR (Registered)     66,977  
    4,881     LG Electronics Inc     172,001  
    25     LG H&H Co Ltd     5,298  
    55,756     Samsung Electronics Co Ltd     2,397,600  
    89     Samsung Electronics Co Ltd GDR (Registered) (a)     96,218  
     

 

 

 
    Total South Korea     2,738,094  
     

 

 

 
          Taiwan — 0.0%      
    10,589     Chailease Holding Co Ltd     33,119  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $24,556,145)
    19,718,270  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%      
          France — 0.0%      
    20,633     ALD SA *     44,874  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
    44,874  
     

 

 

 
          DEBT OBLIGATIONS — 15.8%      
          United States — 15.8%      
          Asset-Backed Securities — 0.0%      
    2,571,735     Crest G-Star LP, Series 2001-1A, Class D, 144A, 9.00%, due 11/28/35 (h)     2  
     

 

 

 
          U.S. Government — 15.8%      
    82,400,000     U.S. Treasury Note, 0.13%, due 04/30/23     80,864,657  
    7,000,000     U.S. Treasury Note, 0.13%, due 05/31/23     6,846,328  
    13,700,000     U.S. Treasury Note, 0.13%, due 06/30/23     13,336,629  
    1,000,000     U.S. Treasury Note, 0.13%, due 07/31/23     969,883  
    43,725,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 10/31/23     43,757,858  
    32,000,000     U.S. Treasury Note, Variable Rate, USBM - 0.08%, 4.26%, due 04/30/24     31,943,844  
    30,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 07/31/24 (a)     29,961,756  
     

 

 

 
    Total U.S. Government     207,680,955  
     

 

 

 
    Total United States     207,680,957  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $210,510,240)
    207,680,957  
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          MUTUAL FUNDS — 22.4%      
          United States — 22.4%      
          Affiliated Issuers — 22.4%      
    2,800,923     GMO Emerging Country Debt Fund, Class VI     53,357,590  
    3,533,772     GMO High Yield Fund, Class VI     63,183,843  
    2,847,952     GMO Opportunistic Income Fund, Class VI     69,433,055  
    1,831,428     GMO Resources Fund     51,188,418  
    1,794,827     GMO SGM Major Markets Fund, Class VI     49,088,520  
    1,657,998     GMO U.S. Treasury Fund (i)     8,256,829  
     

 

 

 
    Total Affiliated Issuers     294,508,255  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $323,050,932)
    294,508,255  
     

 

 

 
          SHORT-TERM INVESTMENTS — 10.4%  
          Money Market Funds — 0.2%      
    3,144,650     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (j)     3,144,650  
     

 

 

 
          Repurchase Agreements — 10.2%      
    133,999,703     Nomura Securities International, Inc. Repurchase Agreement, dated 11/30/22, maturing on 12/01/22 with a maturity value of $134,013,847 and an effective yield of 3.80%, collateralized by a U.S. Treasury Note with maturity date 11/30/24 and a market value of $136,734,306.     133,999,703  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $137,144,353)
    137,144,353  
     

 

 

 
    TOTAL INVESTMENTS — 119.7%
(Cost $1,742,718,941)
    1,576,564,821  
     

 

 

 
          SECURITIES SOLD SHORT — (19.6)%  
          Common Stocks — (19.5)%      
          Australia — (0.5)%      
    (33,231   ASX Ltd     (1,601,861
    (6,551   Cochlear Ltd     (963,511
    (3,164   Domino’s Pizza Enterprises Ltd     (144,910
    (42,664   IDP Education Ltd     (878,384
    (14,050   Northern Star Resources Ltd     (102,870
    (406,727   Qantas Airways Ltd *     (1,746,742
    (15,246   Ramsay Health Care Ltd     (686,145
     

 

 

 
    Total Australia     (6,124,423
     

 

 

 
          Austria — (0.1)%      
    (18,618   Verbund AG     (1,685,368
     

 

 

 
          Belgium — (0.1)%      
    (31,099   Anheuser-Busch InBev SA/NV     (1,834,075
     

 

 

 
     Shares     Description       
Value ($)
 
          Canada — (1.2)%      
    (26,900   Agnico Eagle Mines Ltd     (1,354,953
    (100,000   Algonquin Power & Utilities Corp     (755,000
    (78,600   AltaGas Ltd     (1,318,814
    (15,100   BCE Inc     (719,364
    (43,400   Brookfield Renewable Corp – Class A     (1,415,274
    (4,800   Cameco Corp     (117,024
    (41,800   Enbridge Inc     (1,725,922
    (11,800   Franco-Nevada Corp     (1,724,216
    (93,300   Pan American Silver Corp     (1,529,187
    (54,300   Pembina Pipeline Corp     (1,980,864
    (30,700   Restaurant Brands International Inc     (2,036,945
    (13,400   Ritchie Bros Auctioneers Inc     (734,990
     

 

 

 
    Total Canada     (15,412,553
     

 

 

 
          Denmark — (0.1)%      
    (2,474   Coloplast A/S – Class B     (292,468
    (28,496   Tryg A/S     (662,991
     

 

 

 
    Total Denmark     (955,459
     

 

 

 
          Finland — (0.0)%      
    (5,949   Elisa Oyj     (309,450
     

 

 

 
          France — (0.7)%      
    (56,459   Accor SA *     (1,487,139
    (10,985   Aeroports de Paris *     (1,693,201
    (2,709   Euronext NV     (207,235
    (106,747   Getlink SE     (1,764,036
    (1,320   Hermes International     (2,145,367
    (1,721   Sartorius Stedim Biotech     (587,383
    (7,165   Ubisoft Entertainment SA *     (199,317
    (7,186   Wendel SE     (669,116
     

 

 

 
    Total France     (8,752,794
     

 

 

 
          Germany — (0.7)%      
    (180   Carl Zeiss Meditec AG     (24,540
    (43,232   Delivery Hero SE *     (1,892,380
    (9,066   Deutsche Boerse AG     (1,666,099
    (3,557   MTU Aero Engines AG     (750,040
    (1,241   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Registered)     (391,978
    (12,721   Puma SE     (658,358
    (2,828   QIAGEN NV *     (141,188
    (1,450   Rational AG     (911,041
    (3,144   Scout24 SE     (172,568
    (14,560   Symrise AG – Class A     (1,669,868
    (510,353   Telefonica Deutschland Holding AG     (1,220,637
    (4,025   United Internet AG     (85,570
    (8,276   Zalando SE *     (260,304
     

 

 

 
    Total Germany     (9,844,571
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          Ireland — (0.0)%      
    (1,749   Flutter Entertainment Plc *     (260,422
     

 

 

 
          Israel — (0.2)%      
    (12,400   CyberArk Software Ltd *     (1,848,468
    (5,900   Wix.com Ltd *     (533,891
     

 

 

 
    Total Israel     (2,382,359
     

 

 

 
          Italy — (0.6)%      
    (50,192   Amplifon SPA     (1,421,794
    (7,808   Ferrari NV (d)     (1,742,760
    (3,000   Ferrari NV (d)     (669,150
    (131,536   FinecoBank Banca Fineco SPA     (2,136,369
    (149,718   Infrastrutture Wireless Italiane SPA     (1,493,253
     

 

 

 
    Total Italy     (7,463,326
     

 

 

 
          Japan — (2.2)%      
    (56,100   Aeon Co Ltd     (1,157,775
    (83,300   ANA Holdings Inc *     (1,793,601
    (58,100   Asahi Intecc Co Ltd     (1,040,039
    (400   Fast Retailing Co Ltd     (237,856
    (18,800   GMO Payment Gateway Inc     (1,702,137
    (1,200   Hoya Corp     (124,176
    (82,100   Japan Airlines Co Ltd *     (1,641,110
    (44,900   Japan Exchange Group Inc     (650,114
    (31,200   Keio Corp     (1,168,836
    (17,700   Keisei Electric Railway Co Ltd     (507,078
    (6,600   Kintetsu Group Holdings Co Ltd     (235,892
    (10,500   Lasertec Corp     (1,979,270
    (58,500   M3 Inc     (1,834,722
    (106,800   MonotaRO Co Ltd     (1,847,669
    (20,700   Nidec Corp     (1,303,532
    (81,200   Nihon M&A Center Holdings Inc     (1,111,683
    (138,700   Nippon Paint Holdings Co Ltd     (1,148,678
    (7,800   Nissin Foods Holdings Co Ltd     (594,399
    (79,000   Odakyu Electric Railway Co Ltd     (1,042,832
    (12,100   Oriental Land Co Ltd     (1,749,061
    (323,600   Rakuten Group Inc     (1,554,759
    (19,100   Shiseido Co Ltd     (815,760
    (32,000   Tobu Railway Co Ltd     (772,526
    (72,700   Tokyu Corp     (928,459
    (36,500   West Japan Railway Co     (1,554,888
     

 

 

 
    Total Japan     (28,496,852
     

 

 

 
          Netherlands — (0.5)%      
    (1,157   Adyen NV *     (1,822,644
    (10,866   IMCD NV     (1,607,127
    (48,697   Just Eat Takeaway.com NV *     (1,128,221
    (4,509   OCI NV     (190,884
    (85,149   Universal Music Group NV     (2,024,909
     

 

 

 
    Total Netherlands     (6,773,785
     

 

 

 
     Shares     Description       
Value ($)
 
          New Zealand — (0.1)%      
    (32,072   Xero Ltd *     (1,593,827
     

 

 

 
          Norway — (0.1)%      
    (51,081   Aker BP ASA     (1,777,121
     

 

 

 
          Peru — (0.1)%      
    (31,220   Southern Copper Corp     (1,905,044
     

 

 

 
          Russia — (0.0)%      
    (1,138   Magnit PJSC (e)     (6,259
     

 

 

 
          Singapore — (0.2)%      
    (168,000   Grab Holdings Ltd – Class A *     (507,360
    (153,000   Singapore Airlines Ltd     (620,731
    (161,700   Singapore Exchange Ltd     (1,082,322
     

 

 

 
    Total Singapore     (2,210,413
     

 

 

 
          Spain — (0.3)%      
    (49,210   Cellnex Telecom SA *     (1,692,259
    (81,470   Ferrovial SA     (2,190,912
     

 

 

 
    Total Spain     (3,883,171
     

 

 

 
          Sweden — (0.2)%      
    (8,140   EQT AB     (186,838
    (17,805   Evolution AB     (1,833,985
     

 

 

 
    Total Sweden     (2,020,823
     

 

 

 
          Switzerland — (0.3)%      
    (2   Chocoladefabriken Lindt & Spruengli AG (Registered)     (205,978
    (16   Givaudan SA     (54,091
    (1,517   Partners Group Holding AG     (1,511,492
    (2,061   Sika AG (Registered)     (526,710
    (11,856   Straumann Holding AG (Registered)     (1,383,730
     

 

 

 
    Total Switzerland     (3,682,001
     

 

 

 
          United Kingdom — (1.0)%      
    (17,037   Admiral Group Plc     (416,520
    (210,889   Auto Trader Group Plc     (1,455,832
    (495   Croda International Plc     (40,934
    (19,026   Halma Plc     (504,690
    (104,148   Hargreaves Lansdown Plc     (1,073,087
    (296,710   Informa Plc     (2,225,116
    (20,585   InterContinental Hotels Group Plc     (1,198,112
    (21,377   London Stock Exchange Group Plc     (2,140,596
    (176,230   Ocado Group Plc *     (1,334,192
    (5,349   Prudential Plc     (63,626
    (1,910,590   Rolls-Royce Holdings Plc *     (2,117,026
    (4,608   Spirax-Sarco Engineering Plc     (629,321
     

 

 

 
    Total United Kingdom     (13,199,052
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — (10.3)%      
    (300   AbbVie, Inc.     (48,354
    (75,500   AES Corp. (The)     (2,183,460
    (700   Albemarle Corp.     (194,593
    (9,400   Alnylam Pharmaceuticals, Inc. *     (2,073,546
    (31,900   Altria Group, Inc.     (1,485,902
    (4,200   American Tower Corp. (REIT)     (929,250
    (1,700   Amgen, Inc.     (486,880
    (5,500   Aon Plc – Class A     (1,695,540
    (44,200   Aramark     (1,838,720
    (10,000   Arthur J Gallagher & Co.     (1,991,100
    (7,300   Autodesk, Inc. *     (1,474,235
    (3,600   Automatic Data Processing, Inc.     (950,904
    (13,800   Bill.Com Holdings, Inc. *     (1,661,796
    (8,300   BioMarin Pharmaceutical, Inc. *     (838,134
    (17,600   Bio-Techne Corp.     (1,495,824
    (11,900   Boeing Co. (The) *     (2,128,672
    (3,600   Broadcom, Inc.     (1,983,708
    (3,100   Brown & Brown, Inc.     (184,729
    (11,800   Burlington Stores, Inc. *     (2,309,024
    (39,400   Caesars Entertainment, Inc. *     (2,001,914
    (1,700   Catalent, Inc. *     (85,221
    (30,400   Ceridian HCM Holding, Inc. *     (2,080,576
    (1,000   Charles Schwab Corp. (The)     (82,540
    (1,300   Chipotle Mexican Grill, Inc. – Class A *     (2,115,048
    (34,400   Cloudflare, Inc. – Class A *     (1,690,416
    (7,400   CME Group, Inc.     (1,306,100
    (32,900   Coupa Software, Inc. *     (2,080,596
    (6,300   Crown Castle, Inc. (REIT)     (891,009
    (50,300   Delta Air Lines, Inc. *     (1,779,111
    (17,500   Dexcom, Inc. *     (2,034,900
    (12,400   Diamondback Energy, Inc.     (1,835,448
    (19,500   Dominion Energy, Inc.     (1,191,645
    (3,700   Dynatrace, Inc. *     (143,375
    (12,900   Equity LifeStyle Properties, Inc. (REIT)     (856,818
    (500   Erie Indemnity Co. – Class A     (141,195
    (15,000   Essential Utilities, Inc.     (723,600
    (45,200   Exact Sciences Corp. *     (2,031,740
    (500   Extra Space Storage, Inc. (REIT)     (80,345
    (200   Fair Isaac Corp. *     (123,944
    (32,200   Fastenal Co.     (1,658,622
    (29,400   Fortinet, Inc. *     (1,562,904
    (5,000   Gartner, Inc. *     (1,751,850
    (26,200   Guidewire Software, Inc. *     (1,553,922
    (9,000   Hess Corp.     (1,295,190
    (5,300   HubSpot, Inc. *     (1,606,059
    (4,600   IDEXX Laboratories, Inc. *     (1,959,002
    (29,600   Ingersoll Rand, Inc.     (1,597,512
    (6,800   Insulet Corp. *     (2,035,716
    (8,900   IQVIA Holdings, Inc. *     (1,940,378
    (20,500   Iron Mountain, Inc. (REIT)     (1,113,765
    (32,300   Liberty Media Corp.-Liberty Formula One – Class C *     (1,968,362
     Shares     Description       
Value ($)
 
          United States — continued      
    (5,900   Linde Plc *     (1,985,232
    (20,700   Live Nation Entertainment, Inc. *     (1,506,132
    (700   LPL Financial Holdings, Inc.     (165,697
    (6,300   MarketAxess Holdings, Inc.     (1,687,896
    (4,400   Marriott International, Inc. – Class A     (727,540
    (9,000   Marsh & McLennan Cos., Inc.     (1,558,620
    (300   Mastercard, Inc. – Class A     (106,920
    (3,500   McDonald’s Corp.     (954,765
    (2,500   McKesson Corp.     (954,200
    (9,700   MongoDB, Inc. – Class A *     (1,481,093
    (3,200   Monolithic Power Systems, Inc.     (1,222,272
    (3,000   Moody’s Corp.     (894,810
    (300   Motorola Solutions, Inc.     (81,660
    (3,900   MSCI, Inc. – Class A     (1,980,537
    (26,700   Newmont Corp.     (1,267,449
    (55,600   NiSource, Inc.     (1,553,464
    (24,700   Novocure Ltd. *     (1,897,948
    (31,200   Okta, Inc. *     (1,663,584
    (27,800   ONEOK, Inc.     (1,860,376
    (176,100   Palantir Technologies, Inc. – Class A *     (1,320,750
    (200   Palo Alto Networks, Inc. *     (33,980
    (12,700   Paychex, Inc.     (1,575,181
    (15,200   Philip Morris International, Inc.     (1,514,984
    (6,800   PTC, Inc. *     (865,028
    (1,000   Public Storage (REIT)     (297,960
    (42,500   ROBLOX Corp. – Class A *     (1,350,225
    (28,100   Roku, Inc. *     (1,668,297
    (46,700   Rollins, Inc.     (1,888,548
    (35,500   Royal Caribbean Cruises Ltd. *     (2,127,515
    (3,400   S&P Global, Inc.     (1,199,520
    (11,800   Seagen, Inc. *     (1,432,402
    (4,100   ServiceNow, Inc. *     (1,706,830
    (7,200   Sherwin-Williams Co. (The)     (1,794,096
    (7,800   Simon Property Group, Inc. (REIT)     (931,632
    (37,100   Snap, Inc. – Class A *     (382,501
    (9,800   Snowflake, Inc. – Class A *     (1,400,420
    (17,500   Starbucks Corp.     (1,788,500
    (19,500   Sysco Corp.     (1,686,945
    (58,600   Teladoc Health, Inc. *     (1,670,686
    (7,700   Tesla, Inc. *     (1,499,190
    (3,400   T-Mobile U.S., Inc. *     (514,964
    (31,000   Trade Desk, Inc. (The) – Class A *     (1,616,340
    (2,700   TransDigm Group, Inc.     (1,696,950
    (32,900   Twilio, Inc. – Class A *     (1,612,758
    (61,100   Uber Technologies, Inc. *     (1,780,454
    (20,700   UDR, Inc. (REIT)     (858,429
    (6,700   Vail Resorts, Inc.     (1,725,518
    (3,400   Vulcan Materials Co.     (623,322
    (62,400   Williams Cos., Inc. (The)     (2,165,280
    (500   Yum! Brands, Inc.     (64,330
    (14,956   Zillow Group, Inc. – Class C *     (568,029
    (600   Zoetis, Inc.     (92,484
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description       
Value ($)
 
          United States — continued      
    (11,100   Zscaler, Inc. *     (1,481,295
     

 

 

 
    Total United States     (135,758,732
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $281,534,479)
    (256,331,880
     

 

 

 
          PREFERRED STOCKS (g) — (0.1)%  
          Germany — (0.1)%      
    (4,129   Sartorius AG     (1,552,325
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $1,689,655)
    (1,552,325
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $283,224,134)
    (257,884,205
    Other Assets and Liabilities (net) — (0.1%)     (1,326,372
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,317,354,244  
     

 

 

 
 

Additional information on each restricted security is as follows:

 

Issuer Description

  Acquisition
Date
  Acquisition
Cost
    Value as a
Percentage
of Fund’s
Net Assets
  Value as of
November 30,
2022
 
Alrosa PJSC   12/06/17   $ 4,239,436     0.0%   $ 226,235  
Magnitogorsk Iron & Steel Works PJSC   09/08/17     1,550,653     0.0%     66,782  
PhosAgro PJSC GDR   12/03/20     1,365     0.0%     165  
Sberbank of Russia PJSC   09/09/20     12,774,954     0.0%     571,653  
Sberbank of Russia PJSC   01/10/22     77,024     0.0%     3,119  
Severstal PAO   02/02/21     7,249     0.0%     384  
Severstal PJSC GDR (Registered)   03/16/20     1,679,360     0.0%     82,549  
       

 

 

 
        $ 950,887  
       

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Forward Currency Contracts

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
02/16/2023   JPM   CHF     3,422,004     USD     3,652,721       2,398  
01/18/2023   JPM   CZK     25,105,948     USD     1,072,629       1,892  
01/31/2023   SSB   EUR     4,230,000     USD     4,432,744       9,989  
02/08/2023   MSCI   SEK     17,700,000     USD     1,702,635       9,281  
02/09/2023   JPM   USD     1,520,009     AUD     2,260,000       18,437  
12/02/2022   MSCI   USD     2,022,561     BRL     10,846,468       67,579  
12/02/2022   GS   USD     151,451     BRL     800,000       2,711  
02/02/2023   MSCI   USD     976,525     BRL     5,323,234       37,144  
12/02/2022   CITI   USD     188,890     BRL     1,000,000       3,813  
02/02/2023   MSCI   USD     4,209,083     CAD     5,729,172       54,067  
02/02/2023   BCLY   USD     1,490,883     CAD     2,010,000       4,783  

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/12/2023   MSCI   USD     308,080     CLP     290,000,000       15,452  
02/21/2023   MSCI   USD     567,360     GBP     480,000       12,585  
02/16/2023   MSCI   USD     195,193     HUF     79,127,316       1,863  
02/16/2023   CITI   USD     147,658     HUF     60,000,000       1,764  
02/03/2023   JPM   USD     1,061,104     IDR     16,659,337,000       2,165  
01/17/2023   MSCI   USD     3,990,555     JPY     579,997,183       235,299  
01/24/2023   MSCI   USD     1,114,902     MXN     22,770,191       54,424  
01/18/2023   MSCI   USD     4,315,102     NOK     45,290,448       291,729  
01/12/2023   MSCI   USD     378,563     PEN     1,520,000       16,343  
12/02/2022   CITI   USD     183,849     PHP     10,500,000       1,794  
12/02/2022   JPM   USD     121,975     PHP     7,000,000       1,788  
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

   

Currency
Purchased

    Net
Unrealized
Appreciation
(Depreciation)
($)
 
12/02/2022   BCLY   USD     276,383     PHP     15,632,240       0  
12/05/2022   SSB   USD     50,595     PHP     2,860,107       45  
02/21/2023   BCLY   USD     86,043     PLN     400,000       1,928  
02/08/2023   MSCI   USD     1,641,369     SEK     17,906,846       71,774  
02/08/2023   BCLY   USD     537,011     SEK     5,700,000       8,306  
02/21/2023   GS   USD     94,725     SGD     130,000       890  
02/21/2023   MSCI   USD     93,464     THB     3,300,000       906  
02/06/2023   CITI   USD     108,587     TWD     3,300,000       500  
12/02/2022   CITI   BRL     1,000,000     USD     184,159       (8,544
12/02/2022   MSCI   BRL     10,846,468     USD     2,031,994       (58,145
12/02/2022   GS   BRL     800,000     USD     151,111       (3,051
02/16/2023   JPM   CHF     900,000     USD     954,740       (5,309
01/12/2023   MSCI   CLP     235,887,500     USD     243,900       (19,263
02/21/2023   BCLY   GBP     480,000     USD     574,352       (5,593
02/03/2023   MSCI   IDR     2,000,000,000     USD     126,822       (826
02/28/2023   JPM   ILS     1,383,563     USD     404,137       (3,626
02/23/2023   MSCI   INR     79,049,384     USD     960,456       (6,450
02/03/2023   JPM   KRW     1,127,005,899     USD     790,809       (74,279
02/28/2023   MSCI   NZD     3,640,000     USD     2,263,789       (32,943
01/12/2023   MSCI   PEN     560,000     USD     139,096       (6,396
12/02/2022   JPM   PHP     33,132,240     USD     570,803       (14,987
02/01/2023   BCLY   PHP     15,632,240     USD     275,993       (773
02/21/2023   MSCI   PLN     1,274,008     USD     274,778       (5,411
02/27/2023   BCLY   RON     4,234,153     USD     880,499       (8,558
02/08/2023   BCLY   SEK     7,400,000     USD     704,208       (3,747
02/21/2023   MSCI   SGD     771,598     USD     560,180       (7,328
02/21/2023   BCLY   THB     30,239,025     USD     853,246       (11,499
02/06/2023   BCLY   TWD     34,626,001     USD     1,081,860       (62,758
02/02/2023   JPM   USD     939,265     CAD     1,260,000       (1,683
01/12/2023   MSCI   USD     1,148,621     COP     5,381,955,400       (41,492
02/16/2023   BOA   USD     75,379     HUF     30,000,000       (668
           

 

 

 
            $ 548,320  
           

 

 

 

Futures Contracts

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
162   S&P 500 E-Mini   December 2022   $ 33,058,125     $ 169,850  
     

 

 

   

 

 

 

 

+

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) ($)
 

3.86%

  3 Month AUD BBSW   AUD     12,310,000       12/21/2024     Quarterly     (9,409     (32,311     (22,902

3.91%

  3 Month AUD BBSW   AUD     6,500,000       12/21/2024     Quarterly           (21,234     (21,234

4.08%

  3 Month CAD CDOR   CAD     21,713,000       12/21/2024     Semi-Annually     (443     87,022       87,465  

4.25%

  3 Month CAD CDOR   CAD     3,500,000       12/21/2024     Semi-Annually           5,832       5,832  

3 Month CAD CDOR

  4.15%   CAD     9,500,000       12/21/2024     Semi-Annually           (29,077     (29,077

CHF - SARON - OIS - COMPOUND

  1.39%   CHF     4,500,000       12/21/2024     Semi-Annually           15,427       15,427  

CHF - SARON - OIS - COMPOUND

  1.74%   CHF     10,500,000       12/21/2024     Semi-Annually           113,288       113,288  

1.81%

  CHF - SARON - OIS - COMPOUND   CHF     24,142,000       12/21/2024     Semi-Annually     (1,940     (296,935     (294,995

1.40%

  CHF - SARON - OIS - COMPOUND   CHF     3,500,000       12/21/2024     Semi-Annually           (12,369     (12,369

EUR - EuroSTR - COMPOUND

  2.59%   EUR     9,000,000       12/21/2024     Annually           (9,906     (9,906

EUR - EuroSTR - COMPOUND

  2.64%   EUR     3,000,000       12/21/2024     Annually           (617     (617

2.14%

  EUR - EuroSTR - COMPOUND   EUR     4,748,000       12/21/2024     Annually     1,154       49,509       48,355  

2.94%

  EUR - EuroSTR - COMPOUND   EUR     5,500,000       12/21/2024     Annually           (32,265     (32,265

GBP - SONIA - COMPOUND

  3.96%   GBP     18,390,000       12/21/2024     Annually     (46,356     (175,352     (128,996

GBP - SONIA - COMPOUND

  4.58%   GBP     3,000,000       12/21/2024     Annually           13,701       13,701  

4.26%

  GBP - SONIA - COMPOUND   GBP     5,500,000       12/21/2024     Annually           15,120       15,120  

5.22%

  GBP - SONIA - COMPOUND   GBP     4,500,000       12/21/2024     Annually           (86,091     (86,091

5.36%

  GBP - SONIA - COMPOUND   GBP     4,000,000       12/21/2024     Annually           (89,210     (89,210


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (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 SEK STIBOR

    3.29%     SEK     165,657,000       12/21/2024     Quarterly     34,087       27,535       (6,552

3 Month SEK STIBOR

    3.45%     SEK     35,000,000       12/21/2024     Quarterly           15,730       15,730  

USD - SOFR - COMPOUND

    4.59%     USD     4,500,000       12/21/2024     Semi-Annually           17,151       17,151  

3.58%

    USD -SOFR - COMPOUND     USD     3,466,000       12/21/2024     Semi-Annually     1,165       53,111       51,946  

4.47%

    USD -SOFR - COMPOUND     USD     7,000,000       12/21/2024     Semi-Annually           (11,661     (11,661

6 Month AUD BBSW

    4.14%     AUD     1,500,000       12/21/2032     Semi-Annually           (1,426     (1,426

6 Month AUD BBSW

    4.19%     AUD     1,500,000       12/21/2032     Semi-Annually           2,695       2,695  

6 Month AUD BBSW

    4.21%     AUD     1,900,000       12/21/2032     Semi-Annually           5,787       5,787  

6 Month AUD BBSW

    4.25%     AUD     5,846,000       12/21/2032     Semi-Annually     13,688       30,037       16,349  

6 Month AUD BBSW

    4.25%     AUD     2,777,000       12/21/2032     Semi-Annually     6,502       14,269       7,767  

6 Month AUD BBSW

    4.29%     AUD     1,900,000       12/21/2032     Semi-Annually           14,540       14,540  

6 Month AUD BBSW

    4.57%     AUD     4,100,000       12/21/2032     Semi-Annually           94,980       94,980  

6 Month AUD BBSW

    4.73%     AUD     4,800,000       12/21/2032     Semi-Annually           153,690       153,690  

4.48%

    6 Month AUD BBSW     AUD     3,300,000       12/21/2032     Semi-Annually           (59,047     (59,047

3.71%

    3 Month CAD CDOR     CAD     8,634,000       12/21/2032     Semi-Annually     (3,921     (128,150     (124,229

3.66%

    3 Month CAD CDOR     CAD     1,100,000       12/21/2032     Semi-Annually           (12,927     (12,927

3.55%

    3 Month CAD CDOR     CAD     3,400,000       12/21/2032     Semi-Annually           (16,738     (16,738

3.57%

    3 Month CAD CDOR     CAD     1,700,000       12/21/2032     Semi-Annually           (10,112     (10,112

3.65%

    3 Month CAD CDOR     CAD     3,200,000       12/21/2032     Semi-Annually           (35,990     (35,990

3.68%

    3 Month CAD CDOR     CAD     2,200,000       12/21/2032     Semi-Annually           (29,323     (29,323

3 Month CAD CDOR

    3.41%     CAD     2,000,000       12/21/2032     Semi-Annually           (7,470     (7,470

3 Month CAD CDOR

    3.57%     CAD     2,200,000       12/21/2032     Semi-Annually           13,155       13,155  

3 Month CAD CDOR

    3.59%     CAD     1,000,000       12/21/2032     Semi-Annually           7,430       7,430  

3 Month CAD CDOR

    3.63%     CAD     1,600,000       12/21/2032     Semi-Annually           15,875       15,875  

3 Month CAD CDOR

    3.71%     CAD     4,750,000       12/21/2032     Semi-Annually     3,875       70,505       66,630  

3 Month CAD CDOR

    3.79%     CAD     3,200,000       12/21/2032     Semi-Annually           63,443       63,443  

3 Month CAD CDOR

    3.84%     CAD     3,500,000       12/21/2032     Semi-Annually           81,975       81,975  

3 Month CAD CDOR

    3.97%     CAD     1,600,000       12/21/2032     Semi-Annually           50,595       50,595  

3 Month CAD CDOR

    4.04%     CAD     2,500,000       12/21/2032     Semi-Annually           89,542       89,542  

CHF - SARON -OIS - COMPOUND

    1.85%     CHF     700,000       12/21/2032     Semi-Annually     (3,269     13,865       17,134  

CHF -  SARON - OIS - COMPOUND

    1.86%     CHF     9,192,000       12/21/2032     Semi-Annually           193,410       193,410  

CHF - SARON - OIS -  COMPOUND

    1.93%     CHF     1,900,000       12/21/2032     Semi-Annually           52,726       52,726  

CHF - SARON - OIS -  COMPOUND

    2.05%     CHF     5,258,000       12/21/2032     Semi-Annually     3,447       207,648       204,201  

CHF - SARON - OIS -  COMPOUND

    2.18%     CHF     1,100,000       12/21/2032     Semi-Annually     4,693       57,007       52,314  

CHF - SARON - OIS -  COMPOUND

    2.20%     CHF     2,200,000       12/21/2032     Semi-Annually     (1,901     119,442       121,343  

CHF - SARON - OIS -  COMPOUND

    2.27%     CHF     1,400,000       12/21/2032     Semi-Annually           86,023       86,023  

2.01%

    CHF - SARON - OIS - COMPOUND     CHF     1,700,000       12/21/2032     Semi-Annually           (59,588     (59,588

2.19%

    CHF - SARON - OIS - COMPOUND     CHF     2,200,000       12/21/2032     Semi-Annually     3,765       (117,423     (121,188

2.24%

    CHF - SARON - OIS - COMPOUND     CHF     1,300,000       12/21/2032     Semi-Annually           (75,389     (75,389

2.18%

    CHF - SARON - OIS - COMPOUND     CHF     1,000,000       12/21/2032     Semi-Annually     (4,891     (52,506     (47,615

2.11%

    CHF - SARON - OIS - COMPOUND     CHF     800,000       12/21/2032     Semi-Annually           (35,935     (35,935

1.98%

    CHF - SARON - OIS - COMPOUND     CHF     1,700,000       12/21/2032     Semi-Annually           (54,975     (54,975

1.85%

    CHF - SARON - OIS - COMPOUND     CHF     1,700,000       12/21/2032     Semi-Annually     10,366       (33,422     (43,788

EUR - EuroSTR -  COMPOUND

    2.21%     EUR     1,109,000       12/21/2032     Annually     673       (20,799     (21,472

EUR - EuroSTR -  COMPOUND

    2.48%     EUR     1,600,000       12/21/2032     Annually           10,355       10,355  

EUR - EuroSTR - COMPOUND

    2.89%     EUR     1,200,000       12/21/2032     Annually           52,702       52,702  

EUR - EuroSTR - COMPOUND

    2.94%     EUR     8,108,000       12/21/2032     Annually     2,864       392,116       389,252  

EUR - EuroSTR - COMPOUND

    3.12%     EUR     1,300,000       12/21/2032     Annually           84,713       84,713  

2.82%

    EUR - EuroSTR - COMPOUND     EUR     1,200,000       12/21/2032     Annually           (44,981     (44,981

2.80%

    EUR - EuroSTR - COMPOUND     EUR     580,000       12/21/2032     Annually           (20,533     (20,533

2.80%

    EUR - EuroSTR - COMPOUND     EUR     1,500,000       12/21/2032     Annually           (53,449     (53,449

2.41%

    EUR - EuroSTR - COMPOUND     EUR     1,900,000       12/21/2032     Annually           (336     (336

2.75%

    EUR - EuroSTR - COMPOUND     EUR     620,000       12/21/2032     Annually           (19,366     (19,366

2.69%

    EUR - EuroSTR - COMPOUND     EUR     2,400,000       12/21/2032     Annually           (62,079     (62,079

2.70%

    EUR -EuroSTR - COMPOUND     EUR     700,000       12/21/2032     Annually           (18,430     (18,430

2.55%

    EUR -EuroSTR - COMPOUND     EUR     3,200,000       12/21/2032     Annually           (40,854     (40,854

2.63%

    EUR -EuroSTR - COMPOUND     EUR     1,500,000       12/21/2032     Annually           (29,704     (29,704

GBP - SONIA - COMPOUND

    3.30%     GBP     1,000,000       12/21/2032     Annually           (7,036     (7,036

GBP - SONIA - COMPOUND

    3.52%     GBP     1,200,000       12/21/2032     Annually           16,799       16,799  


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

GBP - SONIA - COMPOUND

  4.12%   GBP     900,000       12/21/2032     Annually           66,575       66,575  

GBP - SONIA - COMPOUND

  4.33%   GBP     1,700,000       12/21/2032     Annually           161,935       161,935  

GBP - SONIA -  COMPOUND

  4.65%   GBP     1,000,000       12/21/2032     Annually           126,784       126,784  

3.96%

  GBP - SONIA - COMPOUND   GBP     3,940,000       12/21/2032     Annually     26,344       72,198       45,854  

3.96%

  GBP - SONIA - COMPOUND   GBP     1,400,000       12/21/2032     Annually           (81,491     (81,491

3.93%

  GBP - SONIA - COMPOUND   GBP     680,000       12/21/2032     Annually           (37,857     (37,857

3.90%

  GBP - SONIA - COMPOUND   GBP     720,000       12/21/2032     Annually           (37,363     (37,363

3.79%

  GBP - SONIA - COMPOUND   GBP     1,600,000       12/21/2032     Annually           (66,240     (66,240

3.76%

  GBP - SONIA - COMPOUND   GBP     700,000       12/21/2032     Annually           (26,682     (26,682

4.28%

  3 Month NZD Bank Bill Rate   NZD     5,980,000       12/21/2032     Quarterly     (39,708     33,854       73,562  

4.82%

  3 Month NZD Bank Bill Rate   NZD     3,100,000       12/21/2032     Quarterly           (66,444     (66,444

4.75%

  3 Month NZD Bank Bill Rate   NZD     2,200,000       12/21/2032     Quarterly           (39,064     (39,064

3 Month NZD Bank Bill Rate

  4.21%   NZD     2,900,000       12/21/2032     Quarterly           (27,934     (27,934

3 Month NZD Bank Bill Rate

  4.45%   NZD     3,500,000       12/21/2032     Quarterly           9,779       9,779  

3 Month NZD Bank Bill Rate

  4.52%   NZD     3,100,000       12/21/2032     Quarterly           19,825       19,825  

3 Month NZD Bank Bill Rate

  4.76%   NZD     2,730,000       12/21/2032     Quarterly           50,552       50,552  

3 Month NZD Bank Bill Rate

  4.86%   NZD     2,570,000       12/21/2032     Quarterly           60,624       60,624  

3 Month SEK STIBOR

  2.69%   SEK     23,000,000       12/21/2032     Quarterly           (5,726     (5,726

3.28%

  3 Month SEK STIBOR   SEK     17,000,000       12/21/2032     Quarterly           (78,621     (78,621

3.17%

  3 Month SEK STIBOR   SEK     25,000,000       12/21/2032     Quarterly           (93,071     (93,071

3.16%

  3 Month SEK STIBOR   SEK     25,000,000       12/21/2032     Quarterly           (91,003     (91,003

2.91%

  3 Month SEK STIBOR   SEK     37,000,000       12/21/2032     Quarterly           (57,379     (57,379

2.87%

  3 Month SEK STIBOR   SEK     33,993,000       12/21/2032     Quarterly     (4,578     (42,168     (37,590

2.98%

  3 Month SEK STIBOR   SEK     18,000,000       12/21/2032     Quarterly           (39,085     (39,085

3.08%

  3 Month SEK STIBOR   SEK     16,000,000       12/21/2032     Quarterly           (47,981     (47,981

3.10%

  3 Month SEK STIBOR   SEK     28,000,000       12/21/2032     Quarterly           (88,601     (88,601

3 Month SEK STIBOR

  3.19%   SEK     26,000,000       12/21/2032     Quarterly           101,097       101,097  

USD - SOFR - COMPOUND

  3.08%   USD     3,400,000       12/21/2032     Semi-Annually           (81,396     (81,396

USD - SOFR - COMPOUND

  3.13%   USD     765,000       12/21/2032     Semi-Annually     (1,027     (15,555     (14,528

USD - SOFR - COMPOUND

  3.22%   USD     1,500,000       12/21/2032     Semi-Annually           (18,422     (18,422

USD - SOFR - COMPOUND

  3.48%   USD     1,000,000       12/21/2032     Semi-Annually           8,981       8,981  

USD - SOFR - COMPOUND

  3.68%   USD     3,700,000       12/21/2032     Semi-Annually           95,455       95,455  

USD - SOFR - COMPOUND

  3.69%   USD     1,500,000       12/21/2032     Semi-Annually           41,026       41,026  

USD - SOFR - COMPOUND

  3.81%   USD     3,400,000       12/21/2032     Semi-Annually           124,504       124,504  

3.13%

  USD - SOFR - COMPOUND   USD     8,359,000       12/21/2032     Semi-Annually     4,452       165,830       161,378  

3.79%

  USD - SOFR - COMPOUND   USD     1,000,000       12/21/2032     Semi-Annually           (35,067     (35,067

3.70%

  USD - SOFR - COMPOUND   USD     1,500,000       12/21/2032     Semi-Annually           (41,592     (41,592

3.72%

  USD - SOFR - COMPOUND   USD     1,500,000       12/21/2032     Semi-Annually           (44,800     (44,800

3.91%

  USD - SOFR - COMPOUND   USD     1,100,000       12/21/2032     Semi-Annually           (50,384     (50,384

3.44%

  USD - SOFR - COMPOUND   USD     1,500,000       12/21/2032     Semi-Annually           (9,195     (9,195
           

 

 

   

 

 

   

 

 

 
  $ (368   $ 479,632     $ 480,000  
           

 

 

   

 

 

   

 

 

 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

OTC Total Return Swaps

 

Fund Pays

   Fund Receives  

Counterparty

  Notional
Amount
   

Expiration
Date

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

Total Return on Equity Basket (k)

   1 Month Federal Funds Rate
minus 0.75%
  GS     USD       1     05/24/2024     Monthly             (3,770     (3,770

Total Return on Equity Basket (k)

   1 Month Federal Funds Rate
minus 1.00%
  MORD     USD       1     05/24/2024     Monthly             (1,101     (1,101

Total Return on Equity Basket (l)

   1 Month Federal Funds Rate   MORD     USD       14,365,174     06/18/2024     Monthly             (451,060     (451,060

Total Return on Equity Basket (k)

   1 Month Federal Funds Rate   GS     USD       5,656,494     06/24/2024     Monthly             (61,190     (61,190
              

 

 

   

 

 

   

 

 

 
  $     $ (517,121   $ (517,121
              

 

 

   

 

 

   

 

 

 

As of November 30, 2022, 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 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.

 

(b)

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

 

(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)

The security is restricted as to resale.

 

(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 is purchased with collateral from securities loaned.

 

(j)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 

(k)

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.

(l)

The following table represents the individual long and/or short positions within the custom equity basket swap as of November 30, 2022:

 

Shares   Description   % of
Equity
Basket
    Value ($)  

(466,000)

  Air China Ltd – Class H     2.5     (375,076

(929,800)

  Airports of Thailand Pcl NVDR     13.4     (1,985,752

(418,000)

  Alibaba Health Information Technology Ltd     2.4     (352,855

(1,014,000)

  China Molybdenum Co Ltd – Class H     3.2     (475,039

(1,692)

  Elisa Oyj     0.6     (88,013

(68,560)

  Ganfeng Lithium Co Ltd – Class H     4.1     (606,686

(148,000)

  Genscript Biotech Corp     2.6     (383,334

(964,600)

  Gulf Energy Development Pcl NVDR     9.8     (1,458,949

(2,340)

  Hanmi Pharm Co Ltd     3.2     (467,854

(1,800)

  Hapvida Participacoes e Investimentos SA     0.0     (1,804

(19,103)

  Hotel Shilla Co Ltd     7.2     (1,073,512

(11,818)

  Kakao Corp     3.5     (518,531

(620,000)

  Kingdee International Software Group Co Ltd     7.1     (1,046,262

(72,600)

  Klabin SA     1.9     (275,607

(33,540)

  Korea Aerospace Industries Ltd     8.4     (1,245,587

(400)

  Lojas Renner SA     0.0     (1,784

(83,100)

  Microport Scientific Corp     1.3     (199,698

4,262

  Nokia Oyj     (0.1 %)      20,998  

(880)

  POSCO Chemical Co Ltd     1.0     (148,639

(2,510)

  Samsung Biologics Co Ltd     11.5     (1,707,146

(237,080)

  Samsung Heavy Industries Co Ltd     6.4     (948,497

(10,922)

  Yuhan Corp     3.3     (488,208

(754,000)

  Zijin Mining Group Co Ltd – Class H     6.7     (1,000,757
     

 

 

 
  TOTAL COMMON STOCKS     $ (14,828,592
     

 

 

 
 


GMO Benchmark-Free Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

The rates shown on variable rate notes are the current interest rates at November 30, 2022, 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.

CDOR - Canadian Dollar Offering Rate

CVA - Certificaaten van aandelen (Share Certificates)

EuroSTR - Euro Short-Term Rate

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

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

OIS - Overnight Indexed Swaps

PJSC - Private Joint-Stock Company

QPSC - Qatar Private Stock Company

QSC - Qatari Shareholding Company

REIT - Real Estate Investment Trust

SARON - Swiss Average Rate Overnight

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

SONIA - Sterling Overnight Interbank Average Rate

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

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

BOA - Bank of America, N.A.

CITI - Citibank N.A.

GS - Goldman Sachs International

JPM - JPMorgan Chase Bank, N.A.

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

SSB - State Street Bank and Trust Company

Currency Abbreviations:

 

AUD - Australian Dollar

BRL - Brazil Real

CAD - Canada Dollar

CHF - Switzerland Franc

CLP - Chile Peso

COP - Colombia Peso

CZK - Czech Republic Koruna

EUR - Euro

GBP - United Kingdom Pound

HUF - Hungary Forint

IDR - Indonesia Rupiah

ILS - Israel Shekel

INR - Indian Rupee

JPY - Japan Yen

KRW - Korean Won

MXN - Mexico Peso

NOK - Norway Krone

NZD - New Zealand Dollar

PEN - Peru Nuevo Sol

PHP - Philippines Peso

PLN - Poland Zloty

RON - Romania New Leu

SEK - Sweden Krona

SGD - Singapore Dollar

THB - Thailand Baht

TWD - Taiwan New Dollar

USD - United States Dollar

 
 


GMO Global Asset Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 99.9%  
          Affiliated Issuers — 99.9%      
    2,766,256     GMO Alternative Allocation Fund, Class VI     49,875,588  
    958,520     GMO Asset Allocation Bond Fund, Class VI     19,803,034  
    534,599     GMO Emerging Country Debt Fund, Class VI     10,184,103  
    1,814,731     GMO Emerging Markets ex-China Fund, Class VI     25,478,822  
    1,237,619     GMO Emerging Markets Fund, Class VI     29,294,450  
    412,268     GMO High Yield Fund, Class VI     7,371,357  
    3,036,569     GMO International Equity Fund, Class IV     65,104,032  
    893,107     GMO-Usonian Japan Value Creation Fund, Class VI     14,512,988  
    2,351,702     GMO Multi-Sector Fixed Income Fund, Class IV     39,837,829  
    427,330     GMO Opportunistic Income Fund, Class VI     10,418,308  
    515,310     GMO Quality Cyclicals Fund, Class VI     11,846,985  
    407,900     GMO Quality Fund, Class VI     10,695,143  
    472,145     GMO Small Cap Quality Fund, Class VI     10,882,935  
    2,816,147     GMO U.S. Equity Fund, Class VI     35,905,880  
    618,299     GMO U.S. Small Cap Value Fund, Class VI     10,647,107  
    30,315     GMO U.S. Treasury Fund     150,969  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $408,417,789)
    352,009,530  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%      
    210,546     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     210,546  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $210,546)
    210,546  
    TOTAL INVESTMENTS — 99.9%
(Cost $408,628,335)
    352,220,076  
    Other Assets and Liabilities (net) — 0.1%     191,397  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $352,411,473  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 


GMO Global Developed Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 100.0%  
    Affiliated Issuers — 100.0%  
    472,778     GMO Emerging Markets ex-China Fund, Class VI     6,637,805  
    1,548,126     GMO International Equity Fund, Class IV     33,191,826  
    190,127     GMO-Usonian Japan Value Creation Fund, Class VI     3,089,557  
    174,676     GMO Quality Cyclicals Fund, Class VI     4,015,805  
    402,818     GMO Quality Fund, Class VI     10,561,893  
    178,080     GMO Small Cap Quality Fund, Class VI     4,104,737  
    1,257,353     GMO U.S. Equity Fund, Class VI     16,031,255  
    234,727     GMO U.S. Small Cap Value Fund, Class VI     4,041,988  
     

 

 

 
    TOTAL MUTUAL FUNDS (COST $82,437,275)     81,674,866  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%  
    45,313     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     45,313  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $45,313)
    45,313  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $82,482,588)
    81,720,179  
    Other Assets and Liabilities (net) — (0.0%)     (23,964
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $81,696,215  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 


GMO Global Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
    MUTUAL FUNDS — 100.0%  
    Affiliated Issuers — 100.0%  
    9,667,336     GMO Emerging Markets ex-China Fund, Class VI     135,729,394  
    7,069,153     GMO Emerging Markets Fund, Class VI     167,326,852  
    21,957,820     GMO International Equity Fund, Class IV     470,775,660  
    3,294,402     GMO-Usonian Japan Value Creation Fund, Class VI     53,534,036  
    2,953,418     GMO Quality Cyclicals Fund, Class VI     67,899,075  
    7,116,824     GMO Quality Fund, Class VI     186,603,111  
    3,153,607     GMO Small Cap Quality Fund, Class VI     72,690,649  
    11,422,235     GMO U.S. Equity Fund, Class VI     145,633,495  
    3,783,860     GMO U.S. Small Cap Value Fund, Class VI     65,158,074  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $1,501,665,042)
    1,365,350,346  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%      
    488,276     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     488,276  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $488,276)
    488,276  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $1,502,153,318)
    1,365,838,622  
    Other Assets and Liabilities (net) — (0.0%)     (90,988
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $1,365,747,634  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
    COMMON STOCKS — 80.2%

 

          Argentina — 0.0%      
    154,985     Adecoagro SA     1,280,176  
     

 

 

 
          Australia — 1.5%      
    49,016     Accent Group Ltd     60,504  
    655,803     Aurizon Holdings Ltd (a)     1,704,482  
    96,471     Austal Ltd     160,674  
    2,246,950     Beach Energy Ltd     2,708,813  
    7,701     BHP Group Ltd (a)     239,157  
    619,649     BlueScope Steel Ltd     7,468,583  
    645,307     Brambles Ltd (a)     5,337,880  
    4,366     Brickworks Ltd     67,028  
    43,105     Challenger Ltd (b)     215,638  
    729,437     Fortescue Metals Group Ltd (a)     9,708,562  
    982,395     GPT Group (The) (REIT)     3,028,666  
    355,838     GrainCorp Ltd – Class A     1,967,424  
    548,337     Grange Resources Ltd     286,450  
    310,059     Helia Group Ltd     573,125  
    66,858     HomeCo Daily Needs (REIT)     60,873  
    82,636     Incitec Pivot Ltd     226,291  
    80,571     JB Hi-Fi Ltd (a) (b)     2,477,909  
    449,614     Jupiter Mines Ltd     56,709  
    17,168     McMillan Shakespeare Ltd     172,788  
    469,488     Metcash Ltd (b)     1,342,564  
    2,011,384     Mirvac Group (REIT)     3,086,507  
    13,006     Monadelphous Group Ltd     122,263  
    96,512     Mount Gibson Iron Ltd * (b)     30,315  
    4,841     National Australia Bank Ltd (a)     104,197  
    51,945     NRW Holdings Ltd     97,356  
    183,278     Nufarm Ltd (b)     758,410  
    479,081     Perenti Ltd *     361,432  
    904     Premier Investments Ltd     15,800  
    117,498     Rio Tinto Ltd (a)     8,771,769  
    163,417     Sandfire Resources Ltd     565,634  
    1,365,382     Scentre Group (REIT) (a)     2,784,953  
    43,773     Sims Ltd     391,092  
    79,010     Southern Cross Media Group Ltd     56,634  
    1,147,261     Stockland (REIT)     2,995,353  
    106,070     Sunrise Energy Metals Ltd *     147,561  
    11,725     Super Retail Group Ltd     88,814  
    351,076     Viva Energy Group Ltd     659,694  
     

 

 

 
    Total Australia     58,901,904  
     

 

 

 
          Austria — 0.1%      
    38,015     OMV AG     2,017,520  
    4,397     Strabag SE     183,392  
     

 

 

 
    Total Austria     2,200,912  
     

 

 

 
          Belgium — 0.5%      
    2,657     Ackermans & van Haaren NV     422,319  
    160,421     Ageas SA/NV     6,495,743  
Shares     Description       
Value ($)
 
          Belgium — continued      
    20,043     AGFA-Gevaert NV *     57,955  
    33,831     Bekaert SA     1,208,066  
    3,217     Cie d’Entreprises CFE *     31,675  
    476     Deme Group NV *     59,185  
    32,497     Econocom Group SA (a)     96,208  
    4,864     Orange Belgium SA *     86,713  
    11,981     Proximus SADP     125,331  
    12,508     Sofina SA (b)     2,722,657  
    6,069     Solvay SA (a)     602,014  
    2,973     Telenet Group Holding NV     47,463  
    75,247     UCB SA     6,073,677  
     

 

 

 
    Total Belgium     18,029,006  
     

 

 

 
          Brazil — 1.0%      
    347,700     Banco do Brasil SA     2,363,852  
    24,200     BB Seguridade Participacoes SA     146,058  
    65,100     CPFL Energia SA     437,818  
    67,400     Dexco SA     108,451  
    17,700     EDP – Energias do Brasil SA     72,378  
    286,135     Enauta Participacoes SA     738,861  
    111,800     Itau Unibanco Holding SA     485,174  
    132,500     JBS SA     563,004  
    199,313     Localiza Rent a Car SA     2,308,326  
    611     Localiza Rent a Car SA GDR * (c)     7,076  
    771,800     Marfrig Global Foods SA     1,301,367  
    758,000     Petroleo Brasileiro SA Sponsored ADR     8,861,020  
    226,926     Sao Martinho SA     1,253,278  
    134,800     Ser Educacional SA *     143,389  
    53,700     SLC Agricola SA     464,424  
    70,500     Suzano SA     722,070  
    193,600     Telefonica Brasil SA     1,419,538  
    208,800     Telefonica Brasil SA ADR (a)     1,526,328  
    2,420,000     TIM SA     6,062,416  
    29,600     TIM SA ADR     368,816  
    138,100     Transmissora Alianca de Energia Eletrica SA     919,185  
    189,644     Vale SA     3,132,259  
    194,600     Vale SA Sponsored ADR – Class B (a)     3,210,900  
    702,500     Vibra Energia SA     2,237,722  
     

 

 

 
    Total Brazil     38,853,710  
     

 

 

 
          Canada — 3.2%      
    9,200     Algoma Steel Group Inc (b)     61,007  
    77,800     Alimentation Couche-Tard Inc (a)     3,544,277  
    58,000     Anaergia Inc *     186,269  
    8,600     Atco Ltd – Class I (a)     275,361  
    14,900     Bank of Montreal (a)     1,455,274  
    5,200     Bank of Nova Scotia (The) (a)     271,440  
    76,300     Birchcliff Energy Ltd (b)     609,197  
    203,700     BlackBerry Ltd * (a)     992,019  
    165,310     Brookfield Asset Management Inc – Class A (a)     7,794,366  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Canada — continued      
    50,600     Canadian Apartment Properties (REIT)     1,643,846  
    4,000     Canadian National Railway Co (a)     513,720  
    41,600     Canadian Solar Inc *     1,491,360  
    47,300     Canadian Tire Corp Ltd – Class A (b)     5,356,787  
    74,300     Canfor Corp *     1,316,261  
    124,500     Celestica Inc * (b) (d)     1,389,247  
    51,100     Celestica Inc * (d)     570,276  
    38,500     Cenovus Energy Inc (d)     765,765  
    10,800     Cenovus Energy Inc (b) (d)     214,772  
    10,700     Cogeco Inc (b)     477,270  
    60,100     Crescent Point Energy Corp     466,977  
    12,000     DREAM UnLtd Corp – Class A (b)     257,815  
    9,200     Element Fleet Management Corp     130,359  
    43,366     Enerflex Ltd (b)     287,570  
    5,000     Enerplus Corp     92,900  
    1,300     Fairfax Financial Holdings Ltd (a)     745,875  
    41,300     Finning International Inc     1,046,048  
    89,000     First Quantum Minerals Ltd     2,115,913  
    5,500     Hardwoods Distribution Inc     106,390  
    31,500     Hydro One Ltd (a)     880,965  
    12,200     iA Financial Corp Inc     688,294  
    53,200     Imperial Oil Ltd (d)     3,035,060  
    15,400     Imperial Oil Ltd (b) (d)     876,157  
    122,900     Interfor Corp *     2,302,405  
    28,968     International Petroleum Corp *     336,609  
    429,900     Ivanhoe Mines Ltd – Class A * (b)     3,847,895  
    110,972     Largo Inc *     618,734  
    114,700     Li-Cycle Holdings Corp *     730,639  
    11,900     Loblaw Cos Ltd (a)     1,073,977  
    102,300     Magna International Inc     6,299,304  
    312,800     Manulife Financial Corp (a) (d)     5,634,423  
    106,600     Manulife Financial Corp (a) (d)     1,921,998  
    9,400     Minto Apartment Real Estate Investment Trust     101,397  
    49,800     Mullen Group Ltd (a)     566,805  
    10,600     National Bank of Canada     755,944  
    114,442     Nutrien Ltd (a)     9,201,137  
    62,100     Onex Corp     3,272,697  
    32,300     Parex Resources Inc     462,475  
    28,800     Power Corp of Canada (a)     724,523  
    36,900     PrairieSky Royalty Ltd (b)     605,147  
    170,500     Quebecor Inc – Class B (b)     3,674,531  
    13,200     Rogers Sugar Inc     59,761  
    41,600     Russel Metals Inc (b)     895,305  
    401,690     Shaw Communications Inc – Class B (a)     10,962,376  
    24,700     Sleep Country Canada Holdings Inc     424,168  
    12,400     Spin Master Corp     316,280  
    9,200     Suncor Energy Inc (d)     302,506  
    3,800     Suncor Energy Inc (d)     124,906  
    72,000     Tamarack Valley Energy Ltd (b)     277,263  
    344,800     Teck Resources Ltd – Class B (d)     12,780,529  
    204,100     Teck Resources Ltd – Class B (d)     7,570,069  
Shares     Description       
Value ($)
 
          Canada — continued      
    46,200     Uni-Select Inc *     1,563,756  
    36,400     Vermilion Energy Inc     719,992  
    4,500     Wajax Corp     69,249  
    71,100     West Fraser Timber Co Ltd (b) (d)     5,561,567  
    18,500     West Fraser Timber Co Ltd (d)     1,449,845  
     

 

 

 
    Total Canada     124,867,049  
     

 

 

 
          Chile — 0.1%      
    705,737     Banco de Chile     66,750  
    1,900     Banco Santander Chile ADR     29,659  
    19,742     CAP SA     144,922  
    723,223     Cencosud SA     1,078,297  
    107,776     Cencosud Shopping SA     137,721  
    24,800     Cia Cervecerias Unidas SA Sponsored ADR     302,064  
    6,067,355     Colbun SA     539,823  
    3,849,027     Enel Chile SA     175,062  
    954,067     Falabella SA     1,706,711  
    62,938     Inversiones La Construccion SA     198,745  
     

 

 

 
    Total Chile     4,379,754  
     

 

 

 
          China — 3.8%      
    476,000     361 Degrees International Ltd *     208,244  
    1,103,000     3SBio Inc     1,170,076  
    21,386,000     Agricultural Bank of China Ltd – Class H     7,148,821  
    623,581     Alibaba Group Holding Ltd *     6,786,528  
    280,500     Anhui Conch Cement Co Ltd – Class H     1,021,676  
    2,446,000     BAIC Motor Corp Ltd – Class H     675,651  
    14,787,000     Bank of China Ltd – Class H     5,240,495  
    6,347,871     Bank of Communications Co Ltd – Class H     3,596,712  
    349,000     Beijing Enterprises Holdings Ltd     1,109,969  
    684,000     China BlueChemical Ltd – Class H     159,034  
    9,392,000     China Cinda Asset Management Co Ltd – Class H     1,235,582  
    1,316,000     China Communications Services Corp Ltd – Class H     453,667  
    404,500     China Conch Venture Holdings Ltd     925,677  
    12,068,000     China Construction Bank Corp – Class H     7,303,552  
    1,741,000     China Dongxiang Group Co Ltd     72,219  
    4,516,000     China Energy Engineering Corp Ltd – Class H (b)     555,161  
    3,218,000     China Everbright Environment Group Ltd     1,488,958  
    3,659,000     China Greenfresh Group Co Ltd (e)      
    835,000     China High Speed Transmission Equipment Group Co Ltd *     389,706  
    3,691,500     China Hongqiao Group Ltd     3,488,705  
    835,000     China Lesso Group Holdings Ltd     1,023,673  
    207,000     China Lilang Ltd     97,943  
    825,925     China Medical System Holdings Ltd     1,209,683  
    96,158     China Merchants Port Holdings Co Ltd     140,355  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          China — continued      
    176,000     China National Building Material Co Ltd – Class H     156,929  
    310,000     China Oilfield Services Ltd – Class H     391,894  
    1,303,000     China Overseas Grand Oceans Group Ltd     603,880  
    3,327,000     China Overseas Land & Investment Ltd     9,091,112  
    20,112,000     China Petroleum & Chemical Corp – Class H     9,494,753  
    7,450,000     China Railway Group Ltd – Class H     4,205,143  
    629,000     China Railway Signal & Communication Corp Ltd – Class H     202,069  
    2,139,000     China Reinsurance Group Corp – Class H     136,563  
    3,229,500     China Resources Pharmaceutical Group Ltd     2,660,333  
    138,000     China Shineway Pharmaceutical Group Ltd     125,252  
    2,324,000     China South City Holdings Ltd * (b)     170,885  
    1,488,000     China State Construction International Holdings Ltd     1,796,807  
    3,642,000     China Traditional Chinese Medicine Holdings Co Ltd     1,826,035  
    336,000     China Water Affairs Group Ltd     273,825  
    4,237,600     China Zhongwang Holdings Ltd * (b) (c)     911,434  
    5,292,158     CITIC Ltd     5,425,352  
    6,754,000     CSPC Pharmaceutical Group Ltd     8,701,290  
    2,978,313     Dongfeng Motor Group Co Ltd – Class H     1,677,855  
    131,000     Far East Horizon Ltd     99,688  
    157,500     Fosun International Ltd     120,404  
    176,000     Fufeng Group Ltd     112,127  
    168,000     Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd – Class H     451,053  
    709,400     Haier Smart Home Co Ltd – Class H     2,360,994  
    169,000     Hengan International Group Co Ltd     778,996  
    192,000     Hisense Home Appliances Group Co Ltd – Class H     199,905  
    137,600     Inner Mongolia Eerduosi Resources Co Ltd – Class A     313,454  
    594,788     Kingboard Holdings Ltd     1,969,015  
    370,400     Legend Holdings Corp – Class H     380,409  
    7,042,000     Lenovo Group Ltd     6,014,191  
    110,900     Livzon Pharmaceutical Group Inc – Class H     388,619  
    760,000     Lonking Holdings Ltd     135,872  
    1,784,000     Metallurgical Corp of China Ltd – Class H     401,969  
    296,000     MMG Ltd *     77,901  
    55,000     NetDragon Websoft Holdings Ltd     109,568  
    1,395,000     Nexteer Automotive Group Ltd (b)     927,957  
    15,280,000     PetroChina Co Ltd – Class H     6,952,885  
    6,394,000     PICC Property & Casualty Co Ltd – Class H     6,477,808  
    712,000     Poly Property Group Co Ltd     177,679  
    98,000     Road King Infrastructure Ltd     40,800  
Shares     Description       
Value ($)
 
          China — continued      
    1,039,200     Shanghai Pharmaceuticals Holding Co Ltd – Class H     1,732,857  
    3,118,000     Shimao Group Holdings Ltd * (b) (c)     1,764,390  
    314,000     Shougang Fushan Resources Group Ltd     106,470  
    1,787,500     Sino-Ocean Group Holding Ltd     227,860  
    806,500     Sinopec Engineering Group Co Ltd – Class H     331,639  
    1,314,400     Sinopharm Group Co Ltd – Class H     3,118,296  
    959,000     Sinotruk Hong Kong Ltd     1,258,746  
    1,768,000     Skyworth Group Ltd     675,362  
    166,000     SSY Group Ltd     83,280  
    5,905,000     Sunac China Holdings Ltd * (b) (c)     3,462,434  
    1,119,000     TCL Electronics Holdings Ltd *     460,458  
    137,060     Tencent Holdings Ltd     5,183,101  
    844,000     Tianjin Port Development Holdings Ltd     59,425  
    674,000     Tianneng Power International Ltd (b)     727,976  
    89,100     Vipshop Holdings Ltd ADR *     993,466  
    223,700     Western Mining Co Ltd – Class A     343,932  
    497,200     Xinjiang Goldwind Science & Technology Co Ltd – Class H     538,880  
    790,000     Yadea Group Holdings Ltd     1,498,782  
    160,000     Zhongsheng Group Holdings Ltd     825,410  
     

 

 

 
    Total China     145,237,556  
     

 

 

 
          Colombia — 0.0%      
    140,155     Ecopetrol SA     66,478  
     

 

 

 
          Czech Republic — 0.0%      
    180,239     Moneta Money Bank AS     554,404  
    627     Philip Morris CR AS     454,715  
     

 

 

 
    Total Czech Republic     1,009,119  
     

 

 

 
          Denmark — 0.6%      
    1,231     AP Moller – Maersk A/S – Class A (a)     2,613,491  
    1,062     AP Moller – Maersk A/S – Class B (a)     2,302,369  
    403,680     Danske Bank A/S     7,269,507  
    28,129     GN Store Nord A/S (a)     679,580  
    9,656     Matas A/S     96,325  
    82,458     Pandora A/S     6,277,592  
    2,051     Rockwool A/S – B Shares     450,370  
    4,657     Scandinavian Tobacco Group A/S     82,724  
    100,818     Vestas Wind Systems A/S     2,619,474  
     

 

 

 
    Total Denmark     22,391,432  
     

 

 

 
          Egypt — 0.0%      
    574,898     Commercial International Bank Egypt SAE     942,232  
    713,067     Eastern Co SAE     374,702  
    34,352     Misr Fertilizers Production Co SAE     186,696  
     

 

 

 
    Total Egypt     1,503,630  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Finland — 0.6%      
    22,296     Kemira Oyj     323,294  
    72,894     Metsa Board Oyj – Class B     648,571  
    133,640     Neste Oyj     6,898,037  
    1,825,114     Nokia Oyj (a)     8,992,165  
    277,791     Outokumpu Oyj     1,401,249  
    2,910     Sanoma Oyj     34,359  
    142,886     Stora Enso Oyj – R Shares (a)     2,102,017  
    43,852     UPM-Kymmene Oyj (a)     1,609,867  
     

 

 

 
    Total Finland     22,009,559  
     

 

 

 
          France — 2.8%      
    52,004     ALD SA (a)     523,379  
    4,629     APERAM SA     146,946  
    231,512     ArcelorMittal SA     6,347,853  
    33,601     Arkema SA     2,987,521  
    1,542     Axway Software SA     25,857  
    95,160     BNP Paribas SA     5,347,231  
    1,836     Boiron SA     86,580  
    909     Caisse Regionale de Credit Agricole Mutuel Nord de France     14,902  
    170,112     Cie de Saint-Gobain     7,844,128  
    145,434     Coface SA     1,780,333  
    133,711     Derichebourg SA     723,351  
    1,170     Eiffage SA     115,203  
    8,542     Eramet SA     730,967  
    694     Groupe Crit (b)     44,819  
    989     HEXAOM     18,611  
    46,120     Ipsen SA     5,155,536  
    35,065     IPSOS     2,005,961  
    10,084     Kering SA (a)     6,058,840  
    12,957     LVMH Moet Hennessy Louis Vuitton SE (a)     10,055,001  
    4,919     Mersen SA     189,481  
    35,264     Metropole Television SA     507,037  
    134,599     Publicis Groupe SA     8,858,823  
    30,028     Quadient SA     458,144  
    5,563     Rexel SA *     102,227  
    2,899     Rothschild & Co     113,675  
    86,083     Safran SA (a)     10,638,627  
    75,703     Sanofi (a)     6,838,197  
    22,576     SES SA, ADR – Class A     154,784  
    8,907     SMCP SA *     63,671  
    13,980     Societe BIC SA     923,562  
    437,359     Societe Generale SA     11,007,899  
    134,700     STMicroelectronics NV     5,237,136  
    1,570     Synergie SE     50,260  
    54,059     Technip Energies NV     856,164  
    157,792     Television Francaise 1     1,192,641  
    158,623     TotalEnergies SE (a) (d)     9,913,951  
    2,651     TotalEnergies SE (d)     164,493  
    70,565     Veolia Environnement SA (a)     1,826,354  
     

 

 

 
    Total France     109,110,145  
     

 

 

 
Shares     Description       
Value ($)
 
          Germany — 1.1%      
    12,037     1&1 AG     173,008  
    369     Amadeus Fire AG     43,875  
    9,196     Aurubis AG     738,272  
    51,910     Bayer AG (Registered) (a)     3,012,696  
    57,240     Bayerische Motoren Werke AG (a)     5,197,314  
    57,385     Beiersdorf AG (a)     6,240,808  
    77,131     Commerzbank AG *     646,058  
    1,623     Deutsche Boerse AG     298,266  
    31,878     Deutsche Pfandbriefbank AG     253,184  
    29,349     Deutsche Telekom AG (a)     597,039  
    1,918     Draegerwerk AG & Co KGaA (a)     77,029  
    4,253     Elmos Semiconductor SE     265,496  
    69,919     Fresenius SE & Co KGaA (a)     1,948,138  
    5,683     Hamburger Hafen und Logistik AG (a)     68,934  
    77,414     HeidelbergCement AG (a)     4,244,510  
    2,040     Henkel AG & Co KGaA (a)     135,720  
    9,418     Hornbach Holding AG & Co KGaA     747,044  
    203,715     Kloeckner & Co SE     1,933,305  
    97,112     Mercedes-Benz Group AG (a)     6,598,100  
    32,133     Merck KGaA (a)     5,887,248  
    35,127     ProSiebenSat.1 Media SE     319,181  
    6,871     RTL Group SA     285,396  
    63,702     Salzgitter AG     1,868,084  
    7,876     Siltronic AG     653,627  
    4,711     Traton SE     75,364  
    9,094     Volkswagen AG     1,755,577  
    1,076     Wuestenrot & Wuerttembergische AG     17,020  
     

 

 

 
    Total Germany     44,080,293  
     

 

 

 
          Greece — 0.0%      
    2,256     Hellenic Telecommunications Organization SA     34,899  
    50,224     JUMBO SA     802,129  
    1,195     Motor Oil Hellas Corinth Refineries SA     24,122  
    37,689     Mytilineos SA     711,149  
    2,145     OPAP SA     29,701  
     

 

 

 
    Total Greece     1,602,000  
     

 

 

 
          Hong Kong — 0.7%      
    348,900     ASMPT Ltd     2,597,386  
    197,000     Bank of East Asia Ltd (The)     227,201  
    238,000     BOC Hong Kong Holdings Ltd     759,695  
    122,000     Chow Sang Sang Holdings International Ltd     141,717  
    904,000     CITIC Telecom International Holdings Ltd     298,358  
    232,500     CK Asset Holdings Ltd (a)     1,391,628  
    121,000     CK Hutchison Holdings Ltd (a)     703,400  
    1,170,000     CSI Properties Ltd     21,087  
    220,400     Dah Sing Banking Group Ltd     153,676  
    76,400     Dah Sing Financial Holdings Ltd     170,664  
    1,256,000     First Pacific Co Ltd     394,160  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Hong Kong — continued      
    733,827     Galaxy Entertainment Group Ltd     4,461,270  
    254,000     Giordano International Ltd     46,662  
    30,000     Hang Lung Group Ltd     52,839  
    63,500     Health & Happiness H&H International Holdings Ltd     77,275  
    853,000     HKT Trust & HKT Ltd – Class SS     1,040,081  
    977,000     IGG Inc *     345,497  
    256,000     Johnson Electric Holdings Ltd     321,015  
    290,000     K Wah International Holdings Ltd     91,288  
    98,000     Kerry Logistics Network Ltd     172,650  
    240,000     Kerry Properties Ltd     458,807  
    65,000     Luk Fook Holdings International Ltd     157,583  
    221,000     NWS Holdings Ltd     182,220  
    143,000     Pacific Basin Shipping Ltd (a)     48,287  
    601,000     Pacific Textiles Holdings Ltd     198,016  
    277,000     PAX Global Technology Ltd     237,874  
    1,029,000     PCCW Ltd     449,953  
    335,500     Power Assets Holdings Ltd (a)     1,730,721  
    636,000     Shun Tak Holdings Ltd *     102,531  
    460,000     Singamas Container Holdings Ltd     43,945  
    74,000     Sino Land Co Ltd (a)     92,552  
    600,000     SITC International Holdings Co Ltd     1,331,013  
    126,000     SmarTone Telecommunications Holdings Ltd     63,967  
    217,000     Sun Hung Kai & Co Ltd     79,195  
    182,500     Swire Pacific Ltd – Class A (a)     1,434,339  
    40,000     TAI Cheung Holdings Ltd     21,297  
    137,500     Texhong Textile Group Ltd     113,731  
    414,000     VPower Group International Holdings Ltd – Class H *     27,326  
    660,000     VSTECS Holdings Ltd     358,246  
    124,300     VTech Holdings Ltd     792,738  
    5,522,000     WH Group Ltd     3,235,429  
    237,500     Yue Yuen Industrial Holdings Ltd     299,541  
     

 

 

 
    Total Hong Kong     24,926,860  
     

 

 

 
          Hungary — 0.2%      
    304,677     MOL Hungarian Oil & Gas Plc     2,205,679  
    180,229     OTP Bank Nyrt     4,969,230  
    24,687     Richter Gedeon Nyrt     531,076  
     

 

 

 
    Total Hungary     7,705,985  
     

 

 

 
          India — 2.7%      
    64,791     Arvind Ltd *     76,579  
    50,899     Asian Paints Ltd     1,991,891  
    83,662     Aurobindo Pharma Ltd     485,309  
    175,502     Axis Bank Ltd     1,947,129  
    15,336     Bajaj Consumer Care Ltd     31,215  
    31,862     Bandhan Bank Ltd *     93,612  
    146,546     Bharat Electronics Ltd     190,685  
    507,285     Brightcom Group Ltd     228,120  
    43,322     Castrol India Ltd     69,948  
Shares     Description       
Value ($)
 
          India — continued      
    40,169     Cipla Ltd     566,736  
    22,915     City Union Bank Ltd     53,833  
    5,608     Clean Science & Technology Ltd     104,010  
    1,976,412     Coal India Ltd     5,582,808  
    60,192     Cochin Shipyard Ltd     495,675  
    5,642     Colgate-Palmolive India Ltd     113,082  
    34,665     Coromandel International Ltd     397,194  
    7,819     Deepak Fertilisers & Petrochemicals Corp Ltd     78,202  
    65,110     Dhampur Bio Organics Ltd *     160,704  
    17,305     Dhampur Sugar Mills Ltd     48,741  
    6,542     EID Parry India Ltd     48,839  
    32,586     Engineers India Ltd     32,389  
    225,817     Exide Industries Ltd     526,532  
    5,172,785     GAIL India Ltd     6,060,718  
    13,170     GHCL Ltd     94,113  
    89,912     Glenmark Pharmaceuticals Ltd     476,869  
    10,666     Great Eastern Shipping Co Ltd (The)     87,710  
    19,091     Gujarat Mineral Development Corp Ltd     37,223  
    24,946     Gujarat Narmada Valley Fertilizers & Chemicals Ltd     184,996  
    491,026     Gujarat State Fertilizers & Chemicals Ltd     801,476  
    32,058     HCL Technologies Ltd     445,460  
    79,112     HDFC Bank Ltd     1,572,395  
    13,999     Hero MotoCorp Ltd     492,109  
    751,452     Hindalco Industries Ltd     4,207,750  
    25,382     Hindustan Aeronautics Ltd     865,858  
    499,357     Hindustan Petroleum Corp Ltd     1,475,555  
    13,970     Hindustan Unilever Ltd     461,639  
    58,692     Hindustan Zinc Ltd     222,661  
    49,255     Housing Development Finance Corp Ltd     1,638,117  
    231,833     ICICI Bank Ltd     2,715,157  
    936,174     Indian Oil Corp Ltd     888,158  
    58,693     Indus Towers Ltd     144,803  
    31,057     Infosys Ltd     632,826  
    115,200     Infosys Ltd Sponsored ADR (a)     2,344,320  
    2,768,950     ITC Ltd     11,609,719  
    366,696     Karnataka Bank Ltd (The)     651,562  
    56,979     Kiri Industries Ltd *     348,422  
    27,845     L&T Finance Holdings Ltd     30,014  
    35,532     Larsen + Toubro Infotech Ltd (c)     2,137,254  
    8,751     Mahanagar Gas Ltd     97,436  
    112,706     Mahindra & Mahindra Ltd     1,816,352  
    68,793     Manappuram Finance Ltd     97,906  
    8,479     Maruti Suzuki India Ltd     939,181  
    10,993     Muthoot Finance Ltd     146,845  
    700,230     National Aluminium Co Ltd     669,690  
    43,893     NCC Ltd     44,869  
    1,429,048     NMDC Ltd     2,087,360  
    1,429,048     NMDC Steel Ltd (c)     675,600  
    1,207,164     NTPC Ltd     2,559,268  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          India — continued      
    7,979,941     Oil & Natural Gas Corp Ltd     13,967,270  
    183,841     Oil India Ltd     466,782  
    2,574     Oracle Financial Services Software Ltd     98,946  
    214     Page Industries Ltd     125,271  
    220,452     Petronet LNG Ltd     578,333  
    2,508     PI Industries Ltd     108,250  
    16,971     Piramal Enterprises Ltd     172,659  
    1,047,220     Power Finance Corp Ltd     1,757,537  
    341,127     Power Grid Corp of India Ltd     939,107  
    97,251     PTC India Ltd     104,539  
    45,714     Rajesh Exports Ltd     433,680  
    1,396,831     REC Ltd     1,903,326  
    248,299     Redington Ltd     554,091  
    29,047     Reliance Industries Ltd     977,677  
    14,844     Shriram Transport Finance Co Ltd     248,359  
    532,318     Sun Pharmaceutical Industries Ltd     6,911,206  
    43,486     Sun TV Network Ltd     264,512  
    7,595     Tata Chemicals Ltd     97,150  
    1     Tata Consultancy Services Ltd     42  
    4,312,033     Tata Steel Ltd     5,766,510  
    67,488     Titan Co Ltd     2,218,463  
    128,580     Vardhman Textiles Ltd *     550,022  
    348,508     Vedanta Ltd     1,318,167  
    26,774     Welspun Corp Ltd     83,176  
    11,241     Zensar Technologies Ltd     31,057  
     

 

 

 
    Total India     102,760,756  
     

 

 

 
          Indonesia — 0.5%      
    9,287,200     Adaro Energy Indonesia Tbk PT     2,298,316  
    714,200     Adaro Minerals Indonesia Tbk PT *     74,001  
    1,454,000     Astra International Tbk PT     562,551  
    9,338,600     Bank Central Asia Tbk PT     5,547,862  
    2,993,892     Bank Mandiri Persero Tbk PT     2,019,564  
    633,300     Bank Negara Indonesia Persero Tbk PT     401,190  
    3,007,300     Bank Pembangunan Daerah Jawa Timur Tbk PT     139,699  
    9,310,700     Bank Rakyat Indonesia Persero Tbk PT     2,961,853  
    780,800     Bank Tabungan Negara Persero Tbk PT     76,489  
    3,495,600     Bukit Asam Tbk PT     848,139  
    3,326,300     Global Mediacom Tbk PT *     62,023  
    18,000     Gudang Garam Tbk PT     22,827  
    763,700     Indika Energy Tbk PT     141,573  
    339,700     Indo Tambangraya Megah Tbk PT     904,759  
    1,641,700     Indofood Sukses Makmur Tbk PT     674,130  
    7,260,800     Kalbe Farma Tbk PT     958,420  
    5,089,000     Media Nusantara Citra Tbk PT *     258,213  
    16,119,700     Panin Financial Tbk PT     485,087  
    3,096,700     Perusahaan Gas Negara Tbk PT     372,698  
    263,500     Tower Bersama Infrastructure Tbk PT     38,860  
    445,700     United Tractors Tbk PT     876,666  
     

 

 

 
    Total Indonesia     19,724,920  
     

 

 

 
Shares     Description       
Value ($)
 
          Ireland — 0.5%      
    49,187     AIB Group Plc     159,724  
    810,629     Bank of Ireland Group Plc     6,721,767  
    43,587     Glanbia Plc     525,667  
    10,301     Kingspan Group Plc     584,745  
    38,104     Origin Enterprises Plc     155,629  
    24,839     Permanent TSB Group Holdings Plc *     45,902  
    194,970     Ryanair Holdings Plc *     2,631,855  
    58,051     Ryanair Holdings Plc Sponsored ADR * (a)     4,393,880  
    92,050     Smurfit Kappa Group Plc (d)     3,344,032  
    12,943     Smurfit Kappa Group Plc (d)     467,763  
     

 

 

 
    Total Ireland     19,030,964  
     

 

 

 
          Israel — 0.5%      
    15,657     Bank Hapoalim BM     152,228  
    42,981     Bank Leumi Le-Israel BM     394,007  
    4,764     Delek Group Ltd *     607,981  
    5,366     Equital Ltd *     173,814  
    5,509     Naphtha Israel Petroleum Corp Ltd *     31,127  
    541,530     Oil Refineries Ltd     201,295  
    709,200     Teva Pharmaceutical Industries Ltd Sponsored ADR *     6,219,684  
    180,911     Tower Semiconductor Ltd *     8,063,203  
    214,300     ZIM Integrated Shipping Services Ltd     4,504,586  
     

 

 

 
    Total Israel     20,347,925  
     

 

 

 
          Italy — 0.6%      
    8,512     ACEA SPA (a)     117,007  
    58,641     Anima Holding SPA     224,424  
    24,111     Arnoldo Mondadori Editore SPA     46,381  
    54,207     Banca IFIS SPA     747,054  
    80,774     Banco BPM SPA     279,935  
    60,809     Credito Emiliano SPA     430,950  
    92,602     Eni SPA     1,380,695  
    22,309     Esprinet SPA     164,923  
    133,568     IMMSI SPA     58,447  
    351,552     Italgas SPA (a)     2,068,905  
    11,092     Iveco Group NV *     74,909  
    549,689     Leonardo SPA     4,410,300  
    274,757     MFE-MediaForEurope NV – Class A     115,603  
    1,452     Prima Industrie SPA (b)     37,340  
    2,198     Sabaf SPA     42,237  
    44,543     Snam SPA (a)     227,379  
    412,248     Stellantis NV (a)     6,503,402  
    17,217,138     Telecom Italia SPA * (b)     3,756,283  
    78,652     Terna – Rete Elettrica Nazionale (a)     602,470  
    6,329     Unieuro SPA (b)     85,890  
    628,622     Unipol Gruppo SPA     3,215,605  
     

 

 

 
    Total Italy     24,590,139  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Japan — 13.3%      
    13,000     ADEKA Corp     215,488  
    3,400     Advantest Corp (a)     231,413  
    513,000     Aeon Mall Co Ltd     6,195,442  
    43,834     AGC Inc     1,480,321  
    15,500     Aichi Corp     90,609  
    51,400     Aisin Corp     1,416,568  
    266,800     Amano Corp     4,843,271  
    23,200     AOKI Holdings Inc     116,372  
    122,900     Arcs Co Ltd     1,879,420  
    779,500     Asahi Kasei Corp (a)     5,793,503  
    11,400     Bandai Namco Holdings Inc     755,368  
    9,100     Bando Chemical Industries Ltd     66,614  
    195,200     Brother Industries Ltd     3,170,278  
    5,600     Canon Electronics Inc     64,667  
    310,600     Canon Inc (a)     7,260,183  
    5,400     Canon Inc Sponsored ADR (a)     126,144  
    23,700     Canon Marketing Japan Inc     539,216  
    12,500     Central Glass Co Ltd     318,367  
    4,000     Chiyoda Integre Co Ltd     70,179  
    276,100     Chugoku Marine Paints Ltd (b)     2,083,949  
    205,900     Citizen Watch Co Ltd     904,157  
    9,600     CONEXIO Corp     83,819  
    290,700     Credit Saison Co Ltd     3,727,027  
    111,500     Dai Nippon Printing Co Ltd (a)     2,309,347  
    13,700     Dai Nippon Toryo Co Ltd     76,659  
    14,600     Daicel Corp     106,495  
    4,000     Dai-Dan Co Ltd     64,172  
    4,800     Daiichi Jitsugyo Co Ltd     148,066  
    7,000     Daiken Corp     109,300  
    3,700     Daito Pharmaceutical Co Ltd (b)     70,107  
    78,700     Daiwa House Industry Co Ltd (a)     1,812,384  
    590,100     Daiwabo Holdings Co Ltd     9,414,665  
    271,500     Denka Co Ltd     6,573,628  
    42,000     Dentsu Group Inc     1,360,071  
    16,600     Ebara Corp     645,404  
    3,000     Eizo Corp     78,885  
    21,300     Exedy Corp     259,110  
    476,300     EXEO Group Inc     7,393,203  
    202,800     Ezaki Glico Co Ltd     5,291,751  
    10,800     FJ Next Co Ltd     75,969  
    376,200     Fuji Corp     5,739,815  
    49,400     Fuji Electric Co Ltd     2,046,892  
    5,000     Fuji Pharma Co Ltd     37,125  
    78,500     FUJIFILM Holdings Corp (a)     4,222,687  
    30,800     Fukuoka Financial Group Inc     603,459  
    9,000     Furuno Electric Co Ltd     67,118  
    10,300     Furyu Corp     87,226  
    3,400     G-7 Holdings Inc     37,985  
    270,900     H.U. Group Holdings Inc (a)     5,494,431  
    26,400     Hachijuni Bank Ltd (The)     100,030  
    19,100     Hanwa Co Ltd     501,340  
Shares     Description       
Value ($)
 
          Japan — continued      
    657,894     Haseko Corp     7,274,634  
    7,800     Heiwado Co Ltd     115,388  
    3,200     Hochiki Corp     33,755  
    123,500     Hogy Medical Co Ltd (a)     3,142,730  
    474,300     Honda Motor Co Ltd (a)     11,559,449  
    29,500     Honda Motor Co Ltd Sponsored ADR (a)     722,750  
    42,000     Hosiden Corp     500,395  
    4,500     Hosokawa Micron Corp     96,879  
    5,900     Hyakujushi Bank Ltd (The)     77,276  
    88,300     Idemitsu Kosan Co Ltd     2,073,604  
    40,000     Inabata & Co Ltd     692,648  
    1,195,000     Inpex Corp     13,168,454  
    479,700     ITOCHU Corp (a)     15,065,976  
    1,300     Itochu-Shokuhin Co Ltd     49,067  
    58,500     Itoham Yonekyu Holdings Inc     291,618  
    25,000     Itoki Corp     98,066  
    15,600     Jaccs Co Ltd     445,404  
    29,100     Japan Aviation Electronics Industry Ltd     502,502  
    391,700     Japan Tobacco Inc (a)     8,013,940  
    20,100     JVCKenwood Corp     54,494  
    11,500     Kaga Electronics Co Ltd     371,025  
    173,100     Kajima Corp     1,958,689  
    14,900     Kamei Corp     130,965  
    6,200     Kandenko Co Ltd     39,261  
    13,200     Kaneka Corp     339,198  
    290,500     Kanematsu Corp     3,243,944  
    385,900     KDDI Corp (a)     11,478,429  
    469,700     Kirin Holdings Co Ltd     7,414,493  
    20,500     Kitz Corp     127,152  
    14,579     Kohnan Shoji Co Ltd     351,958  
    4,900     Kokuyo Co Ltd     64,779  
    42,400     Komeri Co Ltd     800,442  
    193,800     Konoike Transport Co Ltd (a)     2,244,496  
    400     Krosaki Harima Corp     14,682  
    494,800     K’s Holdings Corp     4,108,388  
    1,000     Kureha Corp     71,524  
    9,000     Kyosan Electric Manufacturing Co Ltd     27,245  
    277,300     Kyudenko Corp     6,671,648  
    28,600     Macnica Holdings Inc     724,877  
    251,300     Macromill Inc     2,049,523  
    2,300     Makino Milling Machine Co Ltd     77,767  
    271,500     Mandom Corp     2,862,914  
    457,900     Marubeni Corp (a)     5,179,935  
    288,700     Maruichi Steel Tube Ltd     6,004,810  
    5,400     Maruzen Showa Unyu Co Ltd     127,143  
    6,100     Matsuda Sangyo Co Ltd     103,209  
    256,100     Maxell Ltd     2,646,777  
    44,800     Mazda Motor Corp     356,180  
    22,400     MCJ Co Ltd     157,180  
    330,600     Mebuki Financial Group Inc     751,570  
    1,600     Melco Holdings Inc     36,368  
    75,800     Mirarth Holdings Inc     215,526  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Japan — continued      
    224,200     Mitsubishi Corp (a)     7,550,868  
    23,400     Mitsubishi Electric Corp (a)     234,510  
    51,400     Mitsubishi HC Capital Inc     245,230  
    44,500     Mitsubishi Materials Corp     711,400  
    341,100     Mitsubishi Motors Corp *     1,591,382  
    5,300     Mitsubishi Research Institute Inc (a)     199,088  
    8,000     Mitsubishi Shokuhin Co Ltd     189,397  
    893,700     Mitsubishi UFJ Financial Group Inc (a)     4,873,829  
    3,900     Mitsuboshi Belting Ltd     97,774  
    87,900     Mitsui & Co Ltd (a)     2,551,185  
    12,600     Mitsui DM Sugar Holdings Co Ltd     179,241  
    281,000     Mitsui OSK Lines Ltd (a)     6,959,903  
    11,200     Mitsui-Soko Holdings Co Ltd (a)     289,891  
    16,500     Modec Inc *     184,633  
    182,900     Morinaga & Co Ltd     4,927,463  
    174,400     MS&AD Insurance Group Holdings Inc (a)     5,176,415  
    18,200     MTI Ltd     67,366  
    3,700     Nagase & Co Ltd     54,747  
    201,300     NEC Corp (a)     7,166,392  
    216,900     NGK Spark Plug Co Ltd     4,249,826  
    252,500     NH Foods Ltd     6,798,328  
    35,900     Nichias Corp     637,142  
    13,300     Nichiha Corp     275,986  
    8,400     Nichireki Co Ltd     79,401  
    349,200     Nikon Corp     3,414,380  
    7,000     Nippn Corp     80,840  
    4,200     Nippon Densetsu Kogyo Co Ltd     52,181  
    8,800     Nippon Soda Co Ltd     275,023  
    6,000     Nippon Steel Trading Corp     223,614  
    79,300     Nippon Suisan Kaisha Ltd     302,237  
    430,800     Nippon Telegraph & Telephone Corp (a)     11,945,646  
    102,600     Nippon Television Holdings Inc     793,259  
    272,300     Nippon Yusen KK (a)     6,061,244  
    8,300     Nisshin Oillio Group Ltd (The)     201,649  
    17,500     Nisshinbo Holdings Inc     130,136  
    3,800     Nissin Corp     56,567  
    19,500     Nissin Electric Co Ltd     191,995  
    6,600     Nittetsu Mining Co Ltd     151,939  
    8,900     Nitto Kogyo Corp     151,482  
    41,200     Nojima Corp     420,423  
    2,400     Nomura Real Estate Holdings Inc     58,134  
    814,500     Obayashi Corp     6,089,257  
    68,700     ORIX Corp (a)     1,113,088  
    10,400     Osaka Soda Co Ltd     314,487  
    10,200     Osaki Electric Co Ltd     39,725  
    274,100     Pacific Industrial Co Ltd     2,172,302  
    11,500     PAL GROUP Holdings Co Ltd     203,349  
    1,111,900     Penta-Ocean Construction Co Ltd     5,262,019  
    10,800     Prima Meat Packers Ltd     160,571  
    8,000     Proto Corp     73,774  
    66,800     Renesas Electronics Corp * (a)     655,154  
Shares     Description       
Value ($)
 
          Japan — continued      
    77,300     Rohm Co Ltd     6,204,971  
    43,000     San-A Co Ltd     1,364,596  
    21,600     Sanki Engineering Co Ltd     251,555  
    225,000     Sankyu Inc (a)     8,142,700  
    5,700     Sanwa Holdings Corp     54,018  
    118,700     Sawai Group Holdings Co Ltd     3,675,453  
    106,500     Secom Co Ltd     6,584,367  
    21,000     Sega Sammy Holdings Inc     280,046  
    9,500     Seikitokyu Kogyo Co Ltd     55,279  
    198,800     Seiko Epson Corp     3,128,385  
    27,800     Sekisui Chemical Co Ltd     393,184  
    471,200     Sekisui House Ltd     8,822,594  
    7,500     Sekisui Jushi Corp     99,182  
    32,800     Shimamura Co Ltd     2,977,855  
    680,600     Shimizu Corp     3,669,472  
    9,100     Shin-Etsu Polymer Co Ltd     83,411  
    17,600     Shinmaywa Industries Ltd     130,310  
    6,200     Shinnihon Corp     33,832  
    9,700     Shizuoka Gas Co Ltd (a)     78,126  
    2,000     Sinanen Holdings Co Ltd     55,343  
    10,600     Sinko Industries Ltd     119,866  
    84,900     SKY Perfect JSAT Holdings Inc     315,090  
    349,620     Sojitz Corp     6,230,537  
    504,900     Stanley Electric Co Ltd     10,381,557  
    21,500     Star Micronics Co Ltd     276,491  
    168,900     Subaru Corp     2,892,895  
    445,000     SUMCO Corp     6,657,873  
    3,200     Sumitomo Bakelite Co Ltd     101,823  
    1,938,500     Sumitomo Chemical Co Ltd     7,067,448  
    373,100     Sumitomo Corp (a)     6,116,700  
    8,300     Sumitomo Electric Industries Ltd     97,469  
    126,900     Sumitomo Forestry Co Ltd     2,215,691  
    10,400     Sumitomo Metal Mining Co Ltd     350,778  
    260,700     Sumitomo Mitsui Financial Group Inc     8,848,346  
    231,600     Sumitomo Mitsui Trust Holdings Inc     7,427,566  
    1,500     Sumitomo Seika Chemicals Co Ltd     46,382  
    18,600     Sumitomo Warehouse Co Ltd (The) (a)     272,389  
    10,600     Suntory Beverage & Food Ltd (a)     361,224  
    747,200     T&D Holdings Inc     9,083,955  
    179,900     Tachi-S Co Ltd     1,443,389  
    170,500     Taisei Corp     5,183,057  
    93,500     Takara Holdings Inc     731,204  
    5,500     Takeuchi Manufacturing Co Ltd     128,017  
    435,800     Takuma Co Ltd     4,072,945  
    7,500     Tamron Co Ltd     190,495  
    615,300     Teijin Ltd     5,970,260  
    321,300     THK Co Ltd     6,337,776  
    194,000     Toho Holdings Co Ltd (a)     3,019,304  
    794,200     Tokai Carbon Co Ltd (b)     6,128,108  
    3,300     Token Corp     192,151  
    260,200     Tokyo Gas Co Ltd (a)     4,786,379  
    197,500     Tokyo Seimitsu Co Ltd     6,328,956  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Japan — continued      
    420,600     Toppan Inc     6,551,323  
    255,800     Tosei Corp (b)     2,623,130  
    227,300     Tosoh Corp     2,698,742  
    7,000     Towa Pharmaceutical Co Ltd     107,845  
    69,300     Toyo Construction Co Ltd     421,832  
    3,300     Toyo Ink SC Holdings Co Ltd (b)     45,280  
    8,700     Toyota Boshoku Corp     122,214  
    140,500     Toyota Industries Corp     8,060,094  
    45,900     Toyota Tsusho Corp (a)     1,771,871  
    177,500     Tsumura & Co     3,889,778  
    18,800     TV Asahi Holdings Corp     188,452  
    14,000     Unipres Corp     90,581  
    11,700     Wacoal Holdings Corp     198,946  
    4,600     Warabeya Nichiyo Holdings Co Ltd     61,918  
    23,800     YAMABIKO Corp     197,479  
    311,100     Yamada Holdings Co Ltd (a)     1,078,234  
    107,300     Yamaha Motor Co Ltd (b)     2,687,840  
    1,700     Yamato Kogyo Co Ltd     58,611  
    23,300     Yamazen Corp     170,498  
    21,200     Yellow Hat Ltd     267,031  
    106,000     Yokogawa Bridge Holdings Corp     1,496,068  
    8,800     Yokogawa Electric Corp     165,965  
    4,100     Yokohama Rubber Co Ltd (The) (b)     67,895  
    7,200     Yuasa Trading Co Ltd     188,911  
    144,900     Zenkoku Hosho Co Ltd     5,395,205  
     

 

 

 
    Total Japan     514,843,240  
     

 

 

 
          Kuwait — 0.0%      
    13,649     Humansoft Holding Co KSC     149,222  
     

 

 

 
          Malaysia — 0.1%      
    144,700     AMMB Holdings Bhd     136,211  
    330,500     Hartalega Holdings Bhd     129,285  
    293,600     Hibiscus Petroleum Bhd     73,593  
    24,400     Hong Leong Bank Bhd     114,675  
    208,300     IOI Corp Bhd     179,545  
    369,700     Kossan Rubber Industries Bhd     92,726  
    83,100     Kuala Lumpur Kepong Bhd     391,165  
    24,800     MISC Bhd     40,280  
    1,156,900     Petronas Chemicals Group Bhd     2,229,415  
    33,800     Petronas Gas Bhd     127,846  
    43,900     PPB Group Bhd     170,160  
    193,500     RHB Bank Bhd     245,115  
    87,700     Sime Darby Plantation Bhd     84,122  
    189,300     Telekom Malaysia Bhd     239,277  
    38,200     TIME dotCom Bhd     41,985  
     

 

 

 
    Total Malaysia     4,295,400  
     

 

 

 
          Mexico — 1.3%      
    56,500     Alpek SAB de CV     79,710  
    2,808,510     America Movil SAB de CV – Series L     2,729,323  
Shares     Description       
Value ($)
 
          Mexico — continued      
    87,509     America Movil SAB de CV – Class L Sponsored ADR     1,702,925  
    211,615     Arca Continental SAB de CV     1,761,448  
    286,102     Banco del Bajio SA     929,602  
    8,400     Cemex SAB de CV Sponsored ADR *     38,388  
    2,396     Coca-Cola Femsa SAB de CV Sponsored ADR     163,671  
    1,136,700     Credito Real SAB de CV SOFOM ER * (e)      
    100,800     El Puerto de Liverpool SAB de CV – Class C1     585,553  
    1,272,710     Fomento Economico Mexicano SAB de CV     10,157,141  
    9,754     Fomento Economico Mexicano SAB de CV Sponsored ADR     779,052  
    178,200     Gentera SAB de CV     189,154  
    19,660     Grupo Aeroportuario del Centro Norte SAB de CV – Class B     170,667  
    54,340     Grupo Aeroportuario del Pacifico SAB de CV – Class B     882,638  
    29,772     Grupo Aeroportuario del Sureste SAB de CV – Class B     738,359  
    588     Grupo Aeroportuario del Sureste SAB de CV ADR     145,406  
    1,495,569     Grupo Financiero Banorte SAB de CV – Class O     12,003,154  
    29,255     Grupo Herdez SAB de CV – Series *     59,878  
    2,667,240     Grupo Mexico SAB de CV – Series B     10,851,992  
    106,189     Grupo Televisa SAB Sponsored ADR     579,792  
    20,524     Grupo Televisa SAB     22,605  
    92,451     Qualitas Controladora SAB de CV     389,230  
    119,900     Regional SAB de CV     875,418  
    155,399     Sitios Latinoamerica SAB de CV *     69,267  
    196,849     Unifin Financiera SAB de CV SOFOM ENR *     12,243  
    1,008,072     Wal-Mart de Mexico SAB de CV     3,983,906  
     

 

 

 
    Total Mexico     49,900,522  
     

 

 

 
          Netherlands — 1.9%      
    36,537     ABN AMRO Bank NV CVA GDR     471,178  
    1,233,584     Aegon NV (a) (b)     6,047,602  
    5,200     AerCap Holdings NV *     319,280  
    119,292     ASR Nederland NV     5,459,842  
    9,661     Brunel International NV     98,102  
    16,510     Evander Gold Mines Ltd (c)     172  
    164,175     EXOR NV *     12,887,735  
    64,477     ForFarmers NV (b)     196,242  
    174,151     JDE Peet’s NV     5,394,697  
    461,534     Koninklijke Ahold Delhaize NV (a)     13,450,068  
    378,174     Koninklijke Philips NV (a)     5,666,789  
    145,219     NN Group NV (a)     6,206,146  
    85,452     Prosus NV *     5,591,869  
    152,641     Randstad NV (b)     8,841,486  
    14,156     SBM Offshore NV     226,820  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Netherlands — continued      
    30,532     Signify NV     1,042,809  
    3,523     Wolters Kluwer NV (a)     388,271  
     

 

 

 
    Total Netherlands     72,289,108  
     

 

 

 
          New Zealand — 0.1%      
    210,854     Auckland International Airport Ltd * (a)     1,074,600  
    526,190     Meridian Energy Ltd (a)     1,633,179  
    131,368     Spark New Zealand Ltd     428,274  
     

 

 

 
    Total New Zealand     3,136,053  
     

 

 

 
          Norway — 0.5%      
    80,560     Austevoll Seafood ASA     658,917  
    22,764     BW LPG Ltd     202,987  
    706,585     DNO ASA     903,025  
    372,580     Elkem ASA *     1,379,714  
    275,700     Equinor ASA (a)     10,617,427  
    159,733     Europris ASA     1,015,158  
    210,703     Norsk Hydro ASA     1,586,618  
    10,799     SpareBank 1 Nord Norge     100,655  
    2,118     SpareBank 1 SMN     25,236  
    9,566     Stolt-Nielsen Ltd (a)     247,749  
    20,920     TGS ASA     286,215  
    109,931     Wallenius Wilhelmsen ASA (a)     1,029,824  
     

 

 

 
    Total Norway     18,053,525  
     

 

 

 
          Pakistan — 0.0%      
    86,608     Fauji Fertilizer Co Ltd     39,688  
    43,862     Pakistan Oilfields Ltd     82,041  
     

 

 

 
    Total Pakistan     121,729  
     

 

 

 
          Panama — 0.0%      
    494,873     BAC Holding International Corp *     28,290  
     

 

 

 
          Philippines — 0.0%      
    321,500     Converge Information and Communications Technology Solutions Inc *     88,548  
    41,730     GT Capital Holdings Inc     325,216  
    63,200     Manila Electric Co     313,409  
    5,535,024     Megaworld Corp     220,239  
    223,000     Puregold Price Club Inc     140,569  
     

 

 

 
    Total Philippines     1,087,981  
     

 

 

 
          Poland — 0.4%      
    17,571     Asseco Poland SA     288,259  
    278,736     Bank Polska Kasa Opieki SA     5,331,708  
    14,181     Budimex SA     867,535  
    75,238     Cyfrowy Polsat SA     315,453  
    6,780     KGHM Polska Miedz SA     179,478  
    41,356     Orange Polska SA     58,246  
    406,367     Polski Koncern Naftowy ORLEN SA     5,981,395  
Shares     Description       
Value ($)
 
          Poland — continued      
    184,021     Powszechny Zaklad Ubezpieczen SA     1,317,351  
     

 

 

 
    Total Poland     14,339,425  
     

 

 

 
          Portugal — 0.6%      
    77,338     Altri SGPS SA     453,050  
    700,229     EDP – Energias de Portugal SA     3,322,617  
    1,176,231     Galp Energia SGPS SA (b)     14,493,134  
    65,009     Jeronimo Martins SGPS SA     1,450,450  
    297,612     Navigator Co SA (The)     1,208,919  
    192,336     NOS SGPS SA     772,634  
    23,211     REN – Redes Energeticas Nacionais SGPS SA     61,468  
    1,605,581     Sonae SGPS SA     1,631,054  
     

 

 

 
    Total Portugal     23,393,326  
     

 

 

 
          Qatar — 0.1%      
    84,512     Ooredoo QPSC     206,155  
    447,008     Qatar National Bank QPSC     2,416,717  
    160,925     Qatar National Cement Co QSC     203,498  
     

 

 

 
    Total Qatar     2,826,370  
     

 

 

 
          Russia — 0.2%      
    10,221,010     Alrosa PJSC (e) (f)     761,137  
    376,870,000     Federal Grid Co Unified Energy System PJSC * (e)     37,307  
    214,678     Fix Price Group Ltd GDR * (e)     53,085  
    415,363     Gazprom Neft PJSC (e)     222,836  
    4,924,596     Gazprom PJSC (e)     947,314  
    75,924     Globaltrans Investment Plc Sponsored GDR (Registered) (e)     28,197  
    18,204,300     Inter RAO UES PJSC (e)     68,492  
    88,304     LSR Group PJSC – Class A * (e)     47,465  
    4     LSR Group PJSC GDR (Registered) (e)      
    192,855     LUKOIL PJSC (e)     1,017,162  
    5,760,219     Magnitogorsk Iron & Steel Works PJSC (e) (f)     206,448  
    71,800     Mechel PJSC * (e)     8,359  
    12,797     MMC Norilsk Nickel PJSC (e)     209,676  
    8     MMC Norilsk Nickel PJSC ADR * (c)     13  
    23,942     Mobile TeleSystems PJSC (e)     6,466  
    37,065     Mobile TeleSystems PJSC ADR * (e)     20,062  
    1,472,470     Moscow Exchange MICEX-RTS PJSC * (e)     146,591  
    7,545,000     Mosenergo PJSC * (e)     15,059  
    191,960     Novatek PJSC (e)     227,106  
    3,493,400     Novolipetsk Steel PJSC (e)     424,601  
    6,115     PhosAgro PJSC (e)     45,102  
    118     PhosAgro PJSC GDR (e) (f)     291  
    254,956     Polymetal International Plc *     739,312  
    25,552     Polyus PJSC * (e)     211,032  
    1,493     Ros Agro Plc GDR (Registered) * (d) (e)     1,288  
    1,208     Ros Agro Plc GDR (Registered) * (d) (e)     1,091  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Russia — continued      
    49,974,140     RusHydro PJSC (e)     43,228  
    8,073,970     Sberbank of Russia PJSC * (e) (f)     1,255,014  
    7,395     Severstal PAO * (e) (f)     6,681  
    261,549     Severstal PJSC GDR (Registered) (e) (f)     236,777  
    29,090     SFI PJSC * (e)     15,209  
    27,770,670     Surgutneftegas PJSC (e)     688,066  
    986,916     Tatneft PJSC (e)     412,184  
    725,480     Unipro PJSC (e)     1,153  
    55,470     United Co Rusal International PJSC (e)     2,437  
    752,312,000     VTB Bank PJSC * (e) (f)     14,522  
     

 

 

 
    Total Russia     8,120,763  
     

 

 

 
          Saudi Arabia — 0.2%      
    40,577     Almarai Co JSC     578,025  
    268,681     Saudi Arabian Oil Co     2,403,522  
    130,843     Saudi Basic Industries Corp     2,913,866  
    135,350     Saudi Telecom Co     1,391,396  
     

 

 

 
    Total Saudi Arabia     7,286,809  
     

 

 

 
          Singapore — 0.8%      
    171,000     AIMS APAC (REIT)     151,486  
    621,000     Asian Pay Television Trust     49,306  
    102,600     Bumitama Agri Ltd     46,336  
    241,400     City Developments Ltd     1,483,066  
    611,200     ComfortDelGro Corp Ltd     556,011  
    324,224     DBS Group Holdings Ltd     8,455,355  
    512,600     First Real Estate Investment Trust (b)     90,682  
    64,400     First Resources Ltd     76,958  
    3,966,000     Golden Agri-Resources Ltd     846,647  
    627,199     Japfa Ltd (b)     236,585  
    128,400     Jardine Cycle & Carriage Ltd (b)     2,863,806  
    792,400     Keppel Corp Ltd     4,422,803  
    242,500     Sasseur Real Estate Investment Trust     139,192  
    76,000     Sheng Siong Group Ltd     92,170  
    502,900     Silverlake Axis Ltd     139,351  
    6,700     Singapore Exchange Ltd     44,846  
    279,000     StarHub Ltd     220,509  
    26,800     United Overseas Bank Ltd     617,940  
    121,400     UOL Group Ltd     598,678  
    18,100     Venture Corp Ltd     232,391  
    355,200     Wilmar International Ltd     1,077,509  
    5,441,477     Yangzijiang Financial Holding Ltd * (b)     1,392,062  
    6,766,277     Yangzijiang Shipbuilding Holdings Ltd     7,165,968  
    506,900     Yanlord Land Group Ltd     368,244  
     

 

 

 
    Total Singapore     31,367,901  
     

 

 

 
          South Africa — 1.2%      
    756,571     Absa Group Ltd     9,072,209  
    39,872     AECI Ltd     213,246  
    70,657     African Rainbow Minerals Ltd     1,223,655  
    43,489     Anglo American Platinum Ltd     4,395,633  
Shares     Description       
Value ($)
 
          South Africa — continued      
    5,467     Aspen Pharmacare Holdings Ltd     45,368  
    25,568     Astral Foods Ltd     249,758  
    28,952     AVI Ltd     124,218  
    102,603     Barloworld Ltd     621,990  
    256,174     Bidvest Group Ltd (The)     3,445,101  
    302,582     Blue Label Telecoms Ltd *     91,555  
    9,950     Capitec Bank Holdings Ltd     1,181,314  
    3,087     Clicks Group Ltd     53,107  
    4,274     Exxaro Resources Ltd     55,904  
    903,458     FirstRand Ltd     3,511,266  
    48,390     Foschini Group Ltd (The)     295,007  
    35,900     Gold Fields Ltd Sponsored ADR     400,285  
    205,717     Impala Platinum Holdings Ltd     2,500,198  
    24,044     Investec Ltd     145,122  
    161,064     Kumba Iron Ore Ltd     4,550,249  
    120,662     Lewis Group Ltd     347,430  
    88,955     Motus Holdings Ltd     607,228  
    114,310     Mr Price Group Ltd     1,117,242  
    211,867     MTN Group Ltd     1,736,176  
    23,041     MultiChoice Group     159,680  
    16,215     Nedbank Group Ltd     214,335  
    78,892     Ninety One Ltd     184,256  
    926,150     Old Mutual Ltd     594,934  
    10,559     Omnia Holdings Ltd     42,996  
    800,762     Pepkor Holdings Ltd     1,030,684  
    1,446     Reinet Investments SCA     25,527  
    67,877     Reunert Ltd     188,176  
    157,003     Sanlam Ltd     515,526  
    3,420     Santam Ltd     52,027  
    176,331     Sappi Ltd     501,460  
    21,903     Sasol Ltd     380,805  
    2,402     Shoprite Holdings Ltd     35,052  
    757,944     Sibanye Stillwater Ltd     2,108,917  
    83,500     Sibanye Stillwater Ltd ADR     936,035  
    207,029     Telkom SA SOC Ltd *     417,877  
    16,996     Thungela Resources Ltd     310,232  
    51,308     Tiger Brands Ltd     578,765  
    539,179     Truworths International Ltd     1,786,270  
    80,115     Tsogo Sun Gaming Ltd     59,032  
    126,998     Vodacom Group Ltd     924,914  
    277,042     Woolworths Holdings Ltd     1,054,959  
     

 

 

 
    Total South Africa     48,085,720  
     

 

 

 
          South Korea — 3.2%      
    5,169     Alteogen Inc *     143,643  
    3,656     AMOREPACIFIC Group     87,737  
    1,902     BGF retail Co Ltd     298,495  
    23,701     BH Co Ltd     478,979  
    269,005     BNK Financial Group Inc     1,524,365  
    483     Caregen Co Ltd     41,023  
    41,705     Cheil Worldwide Inc     773,534  
    1,197     CJ CheilJedang Corp     361,039  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          South Korea — continued      
    890     CJ ENM Co Ltd     56,551  
    902     CJ Logistics Corp *     60,459  
    18,807     Coway Co Ltd     828,012  
    4,096     Daeduck Electronics Co Ltd     73,771  
    2,948     Daihan Pharmaceutical Co Ltd     67,794  
    5,507     Daou Data Corp     118,552  
    7,964     DB HiTek Co Ltd     276,271  
    7,076     DB Insurance Co Ltd     336,334  
    483     Dentium Co Ltd     32,754  
    62,560     DGB Financial Group Inc     379,051  
    274,760     Dongwon Development Co Ltd     754,620  
    6,754     Doosan Bobcat Inc     184,870  
    14,200     E-MART Inc     1,004,453  
    470     Green Cross Corp     45,972  
    11,495     GS Engineering & Construction Corp     207,899  
    41,751     GS Holdings Corp     1,551,843  
    1,316     HAESUNG DS Co Ltd     43,159  
    143,867     Hana Financial Group Inc     4,920,545  
    11,389     Handsome Co Ltd     226,214  
    95,128     Hankook Tire & Technology Co Ltd     2,484,456  
    73,755     HDC Hyundai Development Co-Engineering & Construction     627,237  
    5,968     HMM Co Ltd     102,853  
    7,232     Huchems Fine Chemical Corp     119,478  
    5,313     Hyundai Department Store Co Ltd     245,431  
    31,983     Hyundai Engineering & Construction Co Ltd     1,010,964  
    16,909     Hyundai Glovis Co Ltd     2,293,857  
    2,982     Hyundai Home Shopping Network Corp     113,102  
    19,328     Hyundai Marine & Fire Insurance Co Ltd     445,834  
    31,160     Hyundai Mobis Co Ltd     5,100,223  
    5,444     Industrial Bank of Korea     46,599  
    1,070     Innox Advanced Materials Co Ltd     24,056  
    14,726     INTOPS Co Ltd     340,492  
    64,794     JB Financial Group Co Ltd     416,819  
    31,775     KB Financial Group Inc     1,261,713  
    7,900     KB Financial Group Inc ADR     311,339  
    8,906     KC Co Ltd     124,382  
    3,229     KC Tech Co Ltd     41,164  
    223     KCC Corp     41,040  
    2,072     KCC Glass Corp     65,115  
    309,540     Kia Corp     16,301,584  
    1,585     KIWOOM Securities Co Ltd     112,447  
    263     Korea Investment Holdings Co Ltd     11,691  
    5,712     Korea Petrochemical Ind Co Ltd     712,513  
    3,162     Korea Zinc Co Ltd     1,528,665  
    54,413     KT Skylife Co Ltd     356,892  
    202,217     KT&G Corp     15,344,040  
    17,607     Kumho Petrochemical Co Ltd     2,025,306  
    23,897     LG Corp     1,541,129  
    128,842     LG Electronics Inc     9,722,365  
Shares     Description       
Value ($)
 
          South Korea — continued      
    451     LG H&H Co Ltd     227,592  
    33,058     LOTTE Fine Chemical Co Ltd     1,583,444  
    5,172     LOTTE Himart Co Ltd     53,096  
    18,715     LX International Corp     589,721  
    14,430     LX Semicon Co Ltd     984,604  
    2,694     MegaStudyEdu Co Ltd     161,283  
    2,336     Meritz Financial Group Inc     68,060  
    48,514     Meritz Securities Co Ltd     218,225  
    117     NCSoft Corp     42,384  
    6,196     NH Investment & Securities Co Ltd     45,730  
    2,052     NHN KCP Corp *     22,134  
    373     NongShim Co Ltd     93,532  
    5,359     Orion Corp     481,225  
    11,638     POSCO Holdings Inc     2,663,940  
    104,200     POSCO Holdings Inc Sponsored ADR     5,945,652  
    5,021     PSK Inc     69,729  
    971     S-1 Corp     47,494  
    615     Samsung Electro-Mechanics Co Ltd     67,323  
    216,214     Samsung Electronics Co Ltd     10,388,856  
    4,235     Samsung Electronics Co Ltd GDR (Registered)     5,030,564  
    1,328     Samsung Fire & Marine Insurance Co Ltd     208,444  
    6,155     Samsung SDS Co Ltd     601,418  
    6,658     Samsung Securities Co Ltd     180,180  
    562     Samyang Foods Co Ltd     48,004  
    4,824     Sangsangin Co Ltd     22,915  
    38,626     SD Biosensor Inc     977,230  
    23,672     Seegene Inc     554,105  
    2,649     SFA Engineering Corp     81,471  
    111,065     Shinhan Financial Group Co Ltd (d)     3,219,787  
    400     Shinhan Financial Group Co Ltd (d)     11,608  
    878     SK Chemicals Co Ltd     59,944  
    81,274     SK Square Co Ltd *     2,354,720  
    31,667     SK Telecom Co Ltd Sponsored ADR     679,257  
    12,640     SL Corp     273,038  
    1,507     SNT Motiv Co Ltd     51,700  
    548     Soulbrain Co Ltd     90,082  
    162     Taekwang Industrial Co Ltd     91,349  
    1,120     Unid Co Ltd     84,412  
    1,757     UNIDBTPLUS Co Ltd     8,473  
    400,036     Woori Financial Group Inc     3,996,334  
    152,064     Woori Technology Investment Co Ltd *     525,858  
    333     Young Poong Corp     194,774  
    24,451     Youngone Corp     890,921  
     

 

 

 
    Total South Korea     121,741,337  
     

 

 

 
          Spain — 1.8%      
    626,459     Acerinox SA     6,197,586  
    122,116     Amadeus IT Group SA * (a)     6,602,507  
    86,040     Atresmedia Corp de Medios de Comunicacion SA (b)     302,485  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Spain — continued      
    2,725,937     Banco Bilbao Vizcaya Argentaria SA     16,064,061  
    9,359,119     Banco de Sabadell SA     8,738,787  
    2,841,655     Banco Santander SA     8,479,028  
    238,606     Bankinter SA     1,569,330  
    130,062     CaixaBank SA (a)     483,547  
    57,498     Cia de Distribucion Integral Logista Holdings SA (a)     1,356,157  
    90,444     Ence Energia y Celulosa SA     299,643  
    88,295     Faes Farma SA     339,384  
    2,936     Grupo Catalana Occidente SA     92,869  
    8,364     Iberdrola SA (a)     94,492  
    232,265     Industria de Diseno Textil SA (a)     6,062,998  
    48,202     Mediaset Espana Comunicacion SA *     160,539  
    620,888     Repsol SA     9,586,710  
    384,426     Telefonica SA (a)     1,434,938  
    282,493     Unicaja Banco SA     292,059  
     

 

 

 
    Total Spain     68,157,120  
     

 

 

 
          Sweden — 0.6%      
    306,413     Fastighets AB Balder – B Shares *     1,377,482  
    57,745     Industrivarden AB – A Shares (a) (b)     1,490,288  
    113,735     Industrivarden AB – C Shares (b)     2,913,511  
    141,954     Investor AB – A Shares     2,733,277  
    168,534     Investor AB – B Shares (a)     3,136,562  
    55,175     Inwido AB     555,595  
    213,672     Kinnevik AB – Class B *     3,293,729  
    47,636     New Wave Group AB – B Shares     965,248  
    118,802     Skanska AB – B Shares     1,934,017  
    729,664     SSAB AB – A Shares     4,225,302  
    89,923     SSAB AB – B Shares     508,383  
    53,537     Svenska Cellulosa AB SCA – Class B     727,928  
    89,135     Telefonaktiebolaget LM Ericsson – B Shares     562,590  
     

 

 

 
    Total Sweden     24,423,912  
     

 

 

 
          Switzerland — 0.9%      
    174,616     Adecco Group AG (Registered)     5,936,353  
    4,014     DKSH Holding AG (a)     302,659  
    1,277     Gurit Holding AG (b)     131,269  
    109,335     Logitech International SA (Registered) (b)     6,628,696  
    14,408     Mobilezone Holding AG (Registered)     251,005  
    28,374     Roche Holding AG – Genusschein (a)     9,267,625  
    6,403     u-blox Holding AG *     833,623  
    431,226     UBS Group AG (Registered) (a)     7,957,273  
    2,982     Zehnder Group AG – Class RG     177,287  
    4,665     Zurich Insurance Group AG (a)     2,241,238  
     

 

 

 
    Total Switzerland     33,727,028  
     

 

 

 
          Taiwan — 3.7%  
    30,000     Acer Inc     24,077  
    11,774     Acter Group Corp Ltd     38,601  
    7,000     Advantech Co Ltd     76,197  
Shares     Description       
Value ($)
 
          Taiwan — continued  
    748,235     AmTRAN Technology Co Ltd     236,340  
    127,700     ASE Technology Holding Co Ltd ADR (a)     868,360  
    71,000     Asia Cement Corp     95,404  
    7,000     ASMedia Technology Inc     167,834  
    5,000     ASROCK Inc     21,451  
    1,106,672     Asustek Computer Inc     9,619,303  
    58,000     Aten International Co Ltd     145,564  
    932,000     Catcher Technology Co Ltd     5,559,412  
    1,544,000     Cathay Financial Holding Co Ltd     2,197,201  
    225,673     Chailease Holding Co Ltd     1,489,528  
    442,490     Chicony Electronics Co Ltd     1,198,672  
    191,000     China Steel Corp     181,313  
    633,000     Chipbond Technology Corp     1,203,150  
    63,000     ChipMOS Technologies Inc     69,481  
    113,540     Chong Hong Construction Co Ltd     265,341  
    5,000     Chroma ATE Inc     32,620  
    188,560     Chunghwa Telecom Co Ltd     694,072  
    4,500     Chunghwa Telecom Co Ltd Sponsored ADR (a)     164,340  
    1,432,000     Compal Electronics Inc     1,008,411  
    52,000     Compeq Manufacturing Co Ltd     83,370  
    145,080     Coretronic Corp     274,698  
    13,000     Elan Microelectronics Corp     38,235  
    17,000     Elite Semiconductor Microelectronics  
    Technology Inc     41,059  
    1,036,000     Evergreen Marine Corp Taiwan Ltd     5,562,025  
    650,000     Far EasTone Telecommunications Co Ltd     1,435,250  
    271,000     Farglory Land Development Co Ltd     481,031  
    194,340     First Financial Holding Co Ltd     165,885  
    100,709     FLEXium Interconnect Inc     351,795  
    35,000     Formosa Advanced Technologies Co Ltd     45,157  
    11,000     Formosa Chemicals & Fibre Corp     27,235  
    9,000     Formosa International Hotels Corp     69,450  
    679,000     Formosa Plastics Corp     1,991,577  
    356,000     Foxconn Technology Co Ltd     605,127  
    2,129,148     Fubon Financial Holding Co Ltd     4,228,953  
    26,000     Getac Technology Corp     36,159  
    18,000     Gigabyte Technology Co Ltd     64,153  
    834,000     Grand Pacific Petrochemical     566,262  
    700,160     HannStar Display Corp     261,913  
    16,000     Holtek Semiconductor Inc     37,309  
    4,841,406     Hon Hai Precision Industry Co Ltd     15,852,149  
    207,000     Huaku Development Co Ltd     598,852  
    41,941     International Games System Co Ltd     532,675  
    3,000     King Slide Works Co Ltd     40,436  
    235,000     King’s Town Bank Co Ltd     266,514  
    148,000     Kung Long Batteries Industrial Co Ltd     662,907  
    61,000     Largan Precision Co Ltd     4,596,088  
    1,109,000     Lite-On Technology Corp     2,366,771  
    11,000     Makalot Industrial Co Ltd     83,745  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Taiwan — continued  
    304,000     MediaTek Inc     7,345,795  
    131,039     Mercuries Life Insurance Co Ltd *     25,709  
    523,000     Micro-Star International Co Ltd     2,107,736  
    489,000     Mitac Holdings Corp     473,600  
    421,000     Nan Ya Plastics Corp     1,052,991  
    276,502     Nantex Industry Co Ltd     349,637  
    363,000     Nanya Technology Corp     677,402  
    6,000     Nien Made Enterprise Co Ltd     56,960  
    326,000     Novatek Microelectronics Corp     3,194,237  
    106,000     Phison Electronics Corp     1,138,436  
    1,709,566     Pou Chen Corp     1,800,597  
    62,000     Powertech Technology Inc     169,094  
    305,000     Primax Electronics Ltd     575,531  
    94,880     Quanta Computer Inc     221,140  
    440,263     Radiant Opto-Electronics Corp     1,505,648  
    18,000     Raydium Semiconductor Corp     184,198  
    34,000     Realtek Semiconductor Corp     353,462  
    845,700     Ruentex Development Co Ltd     1,276,610  
    668,000     Ruentex Industries Ltd     1,447,051  
    24,000     Shanghai Commercial & Savings Bank Ltd (The)     39,658  
    132,280     Shin Zu Shing Co Ltd     365,116  
    128,000     Shinkong Insurance Co Ltd     207,109  
    301,728     Silicon Motion Technology Corp ADR     19,039,037  
    90,000     Simplo Technology Co Ltd     891,859  
    10,000     Soft-World International Corp     25,311  
    292,000     Syncmold Enterprise Corp     556,734  
    43,000     Synnex Technology International Corp     81,770  
    23,000     T3EX Global Holdings Corp     59,426  
    24,311     Tah Hsin Industrial Corp     55,580  
    47,000     TaiDoc Technology Corp     281,339  
    10,000     Taiwan Hon Chuan Enterprise Co Ltd     26,236  
    139,000     Taiwan Semiconductor Manufacturing Co Ltd     2,232,319  
    151,425     Taiwan Semiconductor Manufacturing Co Ltd Sponsored ADR (a)     12,565,246  
    96,000     Taiwan Union Technology Corp     179,887  
    5,000     Thinking Electronic Industrial Co Ltd     19,692  
    122,699     TOPBI International Holdings Ltd *     48,803  
    289,000     Transcend Information Inc     636,393  
    223,000     Tripod Technology Corp     703,997  
    16,000     Tung Ho Steel Enterprise Corp     27,908  
    121,681     United Integrated Services Co Ltd     711,336  
    59,000     United Microelectronics Corp *     87,434  
    304,000     Universal Inc     243,358  
    582,400     Wan Hai Lines Ltd     1,458,232  
    806,000     Winbond Electronics Corp     562,657  
    712,000     Wistron Corp     639,563  
    2,000     Wiwynn Corp     56,948  
    363,000     WPG Holdings Ltd     573,023  
    20,000     WT Microelectronics Co Ltd     41,070  
    4,000     Yageo Corp     60,814  
Shares     Description       
Value ($)
 
          Taiwan — continued  
    2,759,000     Yang Ming Marine Transport Corp     6,002,519  
    239,000     Youngtek Electronics Corp     477,456  
    4,729,290     Yuanta Financial Holding Co Ltd     3,479,751  
    121,000     Zhen Ding Technology Holding Ltd     473,892  
     

 

 

 
    Total Taiwan     143,590,759  
     

 

 

 
          Thailand — 0.8%  
    5,829,700     AP Thailand Pcl NVDR     1,678,150  
    1,424,900     Bangkok Bank Pcl NVDR     5,854,524  
    470,200     Bangkok Dusit Medical Services Pcl NVDR     405,062  
    147,600     CP ALL Pcl (Foreign Registered)     273,272  
    47,300     CP ALL Pcl NVDR     87,573  
    226,000     GFPT Pcl NVDR     87,542  
    52,300     Kasikornbank Pcl (Foreign Registered)     215,508  
    1,739,800     Kasikornbank Pcl NVDR     7,169,027  
    157,500     Kiatnakin Phatra Bank Pcl NVDR     321,266  
    19,717,600     Krung Thai Bank Pcl NVDR     9,894,998  
    159,808     Pruksa Holding Pcl (Foreign Registered)     55,012  
    565,380     Pruksa Holding Pcl NVDR     194,625  
    236,200     PTG Energy Pcl NVDR     99,816  
    669,600     PTT Exploration & Production Pcl NVDR     3,570,316  
    136,000     Regional Container Lines Pcl NVDR     116,619  
    10,844,900     Sansiri Pcl NVDR     485,410  
    849,700     SC Asset Corp Pcl (Foreign Registered)     99,744  
    207,800     Somboon Advance Technology Pcl NVDR     130,480  
    897,300     Sri Trang Gloves Thailand Pcl NVDR     255,289  
    272,400     Thai Oil Pcl NVDR     430,532  
    208,230     Thai Vegetable Oil Pcl NVDR     167,041  
     

 

 

 
    Total Thailand     31,591,806  
     

 

 

 
          Turkey — 0.7%  
    11,780,661     Akbank TAS     11,019,525  
    271,525     Arcelik AS     1,347,885  
    871,192     Aselsan Elektronik Sanayi Ve Ticaret AS     2,279,758  
    46,503     Dogus Otomotiv Servis ve Ticaret AS     393,003  
    447,192     Enerjisa Enerji AS     698,198  
    1,284,375     Haci Omer Sabanci Holding AS     2,921,243  
    421,726     KOC Holding AS     1,605,959  
    253,254     Koza Anadolu Metal Madencilik Isletmeleri AS *     619,952  
    17,601     Mavi Giyim Sanayi Ve Ticaret AS – Class B     107,926  
    20,776     Oyak Cimento Fabrikalari AS *     23,520  
    1,688,951     Turkiye Garanti Bankasi AS     2,442,169  
    2,486,873     Turkiye Is Bankasi AS – Class C     1,399,568  
    20,420     Vestel Beyaz Esya Sanayi ve Ticaret AS     13,955  
    194,461     Vestel Elektronik Sanayi ve Ticaret AS     626,700  
    1,125,564     Yapi ve Kredi Bankasi AS     730,519  
     

 

 

 
    Total Turkey     26,229,880  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Ukraine — 0.0%  
    36,516     Kernel Holding SA     151,016  
     

 

 

 
          United Arab Emirates — 0.0%  
    736,772     Abu Dhabi National Oil Co for Distribution PJSC     914,335  
    148,356     Emaar Development PJSC *     170,107  
    103,538     Emaar Properties PJSC     172,143  
     

 

 

 
    Total United Arab Emirates     1,256,585  
     

 

 

 
          United Kingdom — 4.3%  
    411,512     3i Group Plc     6,761,332  
    15,686     AG Barr Plc     95,029  
    567,156     Airtel Africa Plc     848,279  
    78,106     Anglo American Plc     3,247,267  
    81,548     BAE Systems Plc (a)     807,630  
    207,297     Balfour Beatty Plc     811,641  
    16,420     Bank of Georgia Group Plc     500,872  
    1,363,799     Barratt Developments Plc     6,595,023  
    120,558     Bellway Plc     2,929,457  
    227,385     Berkeley Group Holdings Plc     10,544,671  
    728,160     BP Plc (a)     4,348,378  
    249,400     BP Plc Sponsored ADR (a)     8,953,460  
    86,767     British American Tobacco Plc (a)     3,557,622  
    167,900     British American Tobacco Plc Sponsored ADR (a)     6,929,233  
    6,404,759     BT Group Plc     9,424,673  
    59,690     Bunzl Plc (a)     2,207,516  
    1,502,132     Centrica Plc (a)     1,734,097  
    5,464     Clarkson Plc (a)     203,951  
    89,563     Coats Group Plc     72,499  
    344,027     Coca-Cola HBC AG *     8,415,210  
    554,102     Compass Group Plc (a)     12,632,379  
    110,718     Crest Nicholson Holdings Plc     306,460  
    14,271     EMIS Group Plc (a)     323,473  
    30,601     Evraz Plc (e)     755  
    883,231     Ferrexpo Plc     1,538,418  
    684,468     Glencore Plc (a)     4,670,890  
    40,280     GSK Plc Sponsored ADR (a)     1,393,285  
    32,500     Haleon Plc ADR * (a)     223,925  
    187,410     Halfords Group Plc     441,192  
    229,549     IG Group Holdings Plc     2,283,448  
    223,669     Imperial Brands Plc (a)     5,753,004  
    11,716     Inchcape Plc (a)     118,657  
    71,019     Indivior Plc *     1,472,946  
    27,836     International Personal Finance Plc     26,335  
    367,489     Investec Plc     2,320,965  
    11,440     Keller Group Plc     101,387  
    1,561,637     Kingfisher Plc     4,566,848  
    782,526     Legal & General Group Plc (a)     2,400,473  
    2,773,082     M&G Plc     6,479,797  
    43,933     Morgan Sindall Group Plc     868,449  
    266,365     OSB Group Plc     1,533,431  
Shares     Description       
Value ($)
 
          United Kingdom — continued  
    21,878     Paragon Banking Group Plc     125,121  
    250,057     Persimmon Plc     3,873,095  
    187,331     Plus500 Ltd     4,300,287  
    102,635     Redde Northgate Plc (a)     469,843  
    302,803     Redrow Plc     1,668,476  
    572,045     S4 Capital Plc *     1,320,801  
    220,505     Serica Energy Plc     842,535  
    450,621     Shell Plc (a)     13,187,784  
    135,527     Spirent Communications Plc     472,312  
    61,535     Standard Chartered Plc     458,376  
    1,506,480     Taylor Wimpey Plc     1,898,812  
    8,168     TBC Bank Group Plc     216,577  
    54,111     Unilever Plc     2,705,611  
    5,300     Unilever Plc Sponsored ADR (a)     267,014  
    56,109     Vesuvius Plc     259,173  
    372,000     Vodafone Group Plc Sponsored ADR (a)     4,177,560  
    26,057     Wincanton Plc (a)     114,916  
    243,127     WPP Plc (a)     2,555,187  
     

 

 

 
    Total United Kingdom     167,357,837  
     

 

 

 
          United States — 22.2%  
    311,541     1Life Healthcare, Inc. * (a)     5,293,082  
    9,200     3M Co. (a)     1,158,924  
    347,288     Activision Blizzard, Inc. (a)     25,681,948  
    17,805     ADTRAN Holdings, Inc.     360,907  
    61,232     Aemetis, Inc. *     337,388  
    44,300     Aflac, Inc. (a)     3,186,499  
    25,200     AGCO Corp.     3,344,544  
    35,600     Alcoa Corp.     1,784,628  
    160,400     Ally Financial, Inc.     4,332,404  
    60,519     Alphabet, Inc. – Class A * (a)     6,111,814  
    56,300     Ameresco, Inc. – Class A *     3,688,776  
    54,027     American Express Co. (a)     8,514,115  
    1,888,723     Anchor Hocking Holdings, Inc. (e)     1,624,302  
    112,600     AppLovin Corp. – Class A * (a)     1,622,566  
    59,100     Arrow Electronics, Inc. *     6,426,534  
    180,300     AT&T, Inc. (a)     3,476,184  
    72,600     Best Buy Co., Inc. (a)     6,192,780  
    19,300     Biogen, Inc. * (a)     5,889,781  
    12,200     Bio-Rad Laboratories, Inc. – Class A *     5,059,462  
    163,452     Black Knight, Inc. * (a)     10,132,389  
    3,878     Booking Holdings, Inc. * (a)     8,064,107  
    331,045     BorgWarner, Inc.     14,072,723  
    99,576     Bruin Blocker LLC (c)     57,226  
    5,000     California Resources Corp.     226,900  
    50,500     Capital One Financial Corp. (a)     5,213,620  
    25,533     CarMax, Inc. * (a)     1,770,969  
    144,100     Carrier Global Corp. (a)     6,386,512  
    71,300     CBRE Group, Inc. – Class A * (a)     5,675,480  
    79,100     Centene Corp. * (a)     6,885,655  
    44,597     Chevron Corp. (a)     8,175,076  
    9,900     Cigna Corp. (a)     3,256,011  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          United States — continued  
    130,121     Citigroup, Inc. (a)     6,299,158  
    216,800     Clean Energy Fuels Corp. *     1,465,568  
    360,200     Cleveland-Cliffs, Inc. *     5,575,896  
    85,500     Cognizant Technology Solutions Corp. – Class A (a)     5,318,955  
    180,500     Comcast Corp. – Class A (a)     6,613,520  
    198,325     Cowen, Inc. – Class A     7,667,244  
    40,500     CVS Health Corp. (a)     4,126,140  
    159,670     Darling Ingredients, Inc. *     11,469,096  
    3,800     Deere & Co. (a)     1,675,800  
    140,200     Dell Technologies, Inc. – Class C     6,279,558  
    43,000     Discover Financial Services (a)     4,659,480  
    349,000     DISH Network Corp. – Class A *     5,601,450  
    78,000     DR Horton, Inc. (a)     6,708,000  
    131,200     eBay, Inc. (a)     5,961,728  
    79,549     EOG Resources, Inc. (a)     11,290,389  
    121,600     Exelon Corp. (a)     5,030,592  
    5,800     Exxon Mobil Corp. (a)     645,772  
    32,400     FedEx Corp. (a)     5,903,928  
    136,800     Fidelity National Financial, Inc. (a)     5,521,248  
    177,577     First Horizon Corp.     4,412,788  
    115,557     Flagstar Bancorp, Inc.     4,338,010  
    425,700     Ford Motor Co. (a)     5,917,230  
    97,586     ForgeRock, Inc. – Class A *     2,122,495  
    74,400     Fortune Brands Home & Security, Inc.     4,861,296  
    54,300     Fox Corp. – Class A (a)     1,762,035  
    182,100     Fox Corp. – Class B (a)     5,557,692  
    217,900     Franklin Resources, Inc. (a)     5,841,899  
    63,200     Freeport-McMoRan, Inc. (a)     2,515,360  
    6,600     Garmin Ltd. (a)     613,734  
    147,300     General Motors Co.     5,974,488  
    20,800     Gilead Sciences, Inc. (a)     1,826,864  
    4,700     Goldman Sachs Group, Inc. (The) (a)     1,814,905  
    157,444     GrafTech International Ltd.     850,198  
    154,765     Green Plains, Inc. *     5,348,678  
    5,716     Gulfport Energy Corp. *     463,510  
    36,178     HEICO Corp. – Class A     4,586,647  
    10,800     Henry Schein, Inc. * (a)     873,936  
    20,300     Hess Corp.     2,921,373  
    53,572     Hilton Worldwide Holdings, Inc. (a)     7,640,439  
    192,900     HP, Inc. (a)     5,794,716  
    102,900     IAC, Inc. *     5,339,481  
    82,400     Incyte Corp. * (a)     6,564,808  
    204,400     Intel Corp. (a)     6,146,308  
    86,032     Intercontinental Exchange, Inc. (a)     9,318,126  
    50,100     International Business Machines Corp. (a)     7,459,890  
    215,100     Invesco Ltd.     4,110,561  
    45,800     Jazz Pharmaceuticals Plc *     7,186,478  
    376,100     Kinder Morgan, Inc.     7,191,032  
    67,000     Knight-Swift Transportation Holdings, Inc. (a)     3,713,810  
    1,018,600     Kosmos Energy Ltd. *     6,773,690  
Shares     Description       
Value ($)
 
          United States — continued  
    139,500     Kraft Heinz Co. (The) (a)     5,489,325  
    26,900     Kroger Co. (The) (a)     1,323,211  
    27,400     Laboratory Corp. of America Holdings (a)     6,595,180  
    9,767     Lam Research Corp. (a)     4,613,735  
    137,871     Las Vegas Sands Corp. * (a)     6,457,878  
    73,700     Lennar Corp. – Class A     6,473,071  
    210,964     Liberty Broadband Corp. – Class C *     19,168,189  
    562,525     Liberty Global Plc – Class A *     11,295,502  
    150,900     Liberty Global Plc – Class C *     3,120,612  
    41,543     Liberty Media Corp.-Liberty Formula One – Class A *     2,283,619  
    120,000     Lincoln National Corp.     4,672,800  
    74,600     Livent Corp. *     2,088,054  
    594,600     Lumen Technologies, Inc.     3,252,462  
    74,800     LyondellBasell Industries NV – Class A (a)     6,358,748  
    14,300     Marathon Oil Corp.     438,009  
    5,988     Markel Corp. *     7,933,142  
    16,800     Match Group, Inc. * (a)     849,408  
    83,757     Meta Platforms, Inc. – Class A * (a)     9,891,702  
    28,900     MetLife, Inc. (a)     2,216,630  
    155,864     Micron Technology, Inc. (a)     8,985,560  
    48,100     Mohawk Industries, Inc. *     4,873,973  
    130,700     Molson Coors Brewing Co. – Class B (a)     7,202,877  
    104,400     Mosaic Co. (The) (a)     5,355,720  
    1,288,200     NII Holdings, Inc. (c)     450,870  
    126,300     NRG Energy, Inc. (a)     5,361,435  
    41,200     Nucor Corp. (a)     6,177,940  
    160     NVR, Inc. *     742,242  
    36,400     Occidental Petroleum Corp.     2,529,436  
    61,700     Oracle Corp. (a)     5,122,951  
    61,715     Otis Worldwide Corp. (a)     4,819,324  
    6,800     PACCAR, Inc. (a)     720,188  
    302,700     Paramount Global – Class B     6,078,216  
    48,276     Park Hotels & Resorts, Inc. (REIT)     619,381  
    71,100     PayPal Holdings, Inc. * (a)     5,574,951  
    755,227     Pershing Square Tontine Holdings Ltd. (c)     75,523  
    58,300     Pfizer, Inc. (a)     2,922,579  
    346,268     PNM Resources, Inc.     16,967,132  
    15,300     PotlatchDeltic Corp. (REIT)     731,187  
    63,400     Prudential Financial, Inc. (a)     6,849,102  
    131,100     PulteGroup, Inc.     5,870,658  
    1,700     Quest Diagnostics, Inc. (a)     258,111  
    101,380     Raytheon Technologies Corp. (a)     10,008,234  
    9,500     Regeneron Pharmaceuticals, Inc. * (a)     7,141,150  
    661,978     Resolute Forest Products, Inc. * (d)     13,967,736  
    20,600     Resolute Forest Products, Inc. * (d)     433,853  
    57,307     Rogers Corp. *     6,248,755  
    102,176     Sensata Technologies Holding Plc     4,608,138  
    217,698     Signify Health, Inc. – Class A * (a)     6,230,517  
    114,350     Skillsoft Corp. *     219,552  
    30,600     Skyworks Solutions, Inc. (a)     2,925,972  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          United States — continued  
    10,900     SolarEdge Technologies, Inc. * (a)     3,257,574  
    266,761     South Jersey Industries, Inc. (a)     9,256,607  
    298,457     Southeastern Grocers, Inc. * (e)     6,267,597  
    202,235     Sportsman’s Warehouse Holdings, Inc. *     1,985,948  
    29,900     SS&C Technologies Holdings, Inc. (a)     1,607,424  
    7,800     Stanley Black & Decker, Inc.     637,416  
    66,700     Steel Dynamics, Inc. (a)     6,932,131  
    343,374     STORE Capital Corp. (REIT) (a)     10,953,631  
    143,252     Sunrun, Inc. *     4,667,150  
    402,186     Switch, Inc. – Class A (a)     13,774,870  
    166,000     Synchrony Financial (a)     6,238,280  
    1,507,100     Syncora Holdings Ltd. * (e)     15,071  
    36,000     TechnipFMC Plc *     446,400  
    1,015,832     TEGNA, Inc.     20,052,524  
    23,689     Tempur Sealy International, Inc.     752,599  
    67,000     Textron, Inc. (a)     4,782,460  
    5,869     TRU TAJ Liquidation Unit Trust/TRU TAJ Finance, Inc. (e)     59  
    160,204     TRU TAJ LLC/TRU TAJ Finance, Inc. * (e)     780,994  
    83,500     Tyson Foods, Inc. – Class A (a)     5,534,380  
    398,785     Umpqua Holdings Corp.     8,083,372  
    1,200     United Parcel Service, Inc. – Class B (a)     227,676  
    50,700     Universal Health Services, Inc. – Class B (a)     6,634,095  
    171,053     US Bancorp (a)     7,764,096  
    137,500     Verizon Communications, Inc. (a)     5,359,750  
    19,300     Vertex Pharmaceuticals, Inc. * (a)     6,106,520  
    518,800     Viatris, Inc. (a)     5,722,364  
    117,780     VMware, Inc. – Class A * (a)     14,309,092  
    148,600     Walgreens Boots Alliance, Inc. (a)     6,166,900  
    64,277     Warner Bros Discovery, Inc. * (a)     732,758  
    187,207     Wells Fargo & Co. (a)     8,976,576  
    364,700     Western Union Co. (The) (a)     5,346,502  
    126,300     Western Digital Corp. *     4,641,525  
    44,300     Westlake Corp.     4,768,895  
    107,060     Westmoreland Mining Holdings (c)     107,060  
    34,000     Whirlpool Corp.     4,982,020  
    99,222     Zogenix, Inc. * (c)     74,416  
    65,100     Zoom Video Communications, Inc. – Class A * (a)     4,910,493  
     

 

 

 
    Total United States     859,111,070  
     

 

 

 
          Vietnam — 0.3%  
    536,900     Duc Giang Chemicals JSC     1,340,482  
    2,425,400     Hoa Phat Group JSC     1,825,153  
    735,300     Hoa Sen Group *     339,207  
    298,700     IDICO Corp JSC     437,628  
    733,600     Nam Kim Steel JSC     330,392  
    39,600     PetroVietNam Ca Mau Fertilizer JSC     47,317  
    32,200     Petrovietnam Fertilizer & Chemicals JSC     53,904  
    70,500     PetroVietnam Technical Services Corp     60,832  
Shares     Description       
Value ($)
 
          Vietnam — continued  
    35,000     Pha Lai Thermal Power JSC     18,934  
    1,135,075     Saigon – Hanoi Commercial Joint Stock Bank *     471,016  
    219,800     Saigon Thuong Tin Commercial JSB *     180,603  
    2,011,600     SSI Securities Corp     1,591,453  
    331,600     Vietnam Dairy Products JSC     1,118,669  
    1,329,600     Vietnam Joint Stock Commercial Bank for Industry and Trade     1,484,894  
    202,500     Vinhomes JSC     450,253  
    3,875,600     VNDirect Securities Corp     2,170,113  
     

 

 

 
    Total Vietnam     11,920,850  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $3,564,392,395)
    3,103,194,856  
     

 

 

 
          PREFERRED STOCKS (g) — 1.9%  
          Brazil — 1.3%      
    70,900     Banco do Estado do Rio Grande do Sul SA – Class B     136,216  
    2,145,178     Bradespar SA     11,698,679  
    833,820     Cia Energetica de Minas Gerais     1,844,596  
    50     Cia Energetica de Minas Gerais Sponsored ADR (a)     110  
    2,488,400     Cia Paranaense de Energia – Class B     3,874,526  
    189,400     Gerdau SA     1,152,236  
    331,504     Gerdau SA Sponsored ADR     2,022,174  
    171,700     Itau Unibanco Holding SA     860,262  
    799,800     Itau Unibanco Holding SA Sponsored ADR     3,983,004  
    2,957,300     Petroleo Brasileiro SA     15,192,966  
    857,980     Petroleo Brasileiro SA Sponsored ADR     8,794,295  
    5,940     Unipar Carbocloro SA – Class B     111,237  
     

 

 

 
    Total Brazil     49,670,301  
     

 

 

 
          Chile — 0.1%  
    34,984     Embotelladora Andina SA – Class B     67,441  
    23,000     Sociedad Quimica y Minera de Chile SA Sponsored ADR     2,280,680  
     

 

 

 
    Total Chile     2,348,121  
     

 

 

 
          Germany — 0.2%  
    52,738     Bayerische Motoren Werke AG     4,576,286  
    4,088     Draegerwerk AG & Co KGaA (a)     185,289  
    3,461     Villeroy & Boch AG     60,500  
    22,038     Volkswagen AG (a)     3,255,247  
     

 

 

 
    Total Germany     8,077,322  
     

 

 

 
          Russia — 0.0%  
    15,222     Bashneft PJSC (e)     12,135  
    79,750     Nizhnekamskneftekhim PJSC (e)     6,433  
    49,530     Sberbank of Russia PJSC * (e) (f)     7,424  
    20,862,000     Surgutneftegas PJSC (e)     593,947  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares /

Par Value†

    Description       
Value ($)
 
          Russia — continued  
    12,313     Tatneft PJSC (e)     4,975  
    337     Transneft PJSC (e)     34,211  
     

 

 

 
    Total Russia     659,125  
     

 

 

 
          South Korea — 0.3%  
    5,895     Hyundai Motor Co GDR (Registered)     182,790  
    6,750     LG Electronics Inc     237,863  
    71     LG H&H Co Ltd     15,047  
    216,689     Samsung Electronics Co Ltd     9,317,985  
    1,358     Samsung Electronics Co Ltd GDR (Registered)     1,468,129  
     

 

 

 
    Total South Korea     11,221,814  
     

 

 

 
          Taiwan — 0.0%  
    68,864     Chailease Holding Co Ltd     215,385  
     

 

 

 
          United States — 0.0%  
    39     Gulfport Energy Corp. (c)     217,425  
    2,313     Murray Energy Corp. (e)     1,399,365  
     

 

 

 
    Total United States     1,616,790  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $85,902,427)
    73,808,858  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%      
          Australia — 0.0%      
    18,570     Sandfire Resources Ltd. * (c)      
     

 

 

 
          Canada — 0.0%      
    222,285     Clementia Pharmaceuticals Inc * (c)     277,856  
     

 

 

 
          France — 0.0%      
    52,004     ALD SA *     113,101  
     

 

 

 
          United States — 0.0%      
    408,963     Bristol-Myers Squibb Co. CVR * (c)     756,582  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $1,183,901)
    1,147,539  
     

 

 

 
          INVESTMENT FUNDS — 0.4%      
          United States — 0.4%      
    4,418,828     Altaba, Inc. (c)     16,570,605  
     

 

 

 
    TOTAL INVESTMENT FUNDS
(COST $12,512,701)
    16,570,605  
     

 

 

 
          DEBT OBLIGATIONS — 33.2%      
          Austria — 0.0%      
          Corporate Debt — 0.0%      

EUR

    1,600,000     ams-OSRAM AG, Reg S, 2.13%, due 11/03/27     1,138,167  
     

 

 

 
Par Value†     Description       
Value ($)
 
          Canada — 0.1%      
          Corporate Debt — 0.1%      
    4,539,000     Bombardier Inc, 144A, 7.88%, due 04/15/27     4,465,196  
     

 

 

 
          China — 0.0%      
          Corporate Debt — 0.0%      
    6,630,000     Scenery Journey Ltd, Reg S,
11.50%, due 10/24/22 (h)
    364,650  
    709,000     Scenery Journey Ltd, Reg S,
13.00%, due 11/06/22 (h)
    38,995  
    2,130,000     Scenery Journey Ltd, Reg S,
12.00%, due 10/24/23 (h)
    117,150  
     

 

 

 
    Total China     520,795  
     

 

 

 
          Israel — 0.1%      
          Corporate Debt — 0.1%      
    5,496,000     Teva Pharmaceutical Finance Co LLC,
6.15%, due 02/01/36
    4,694,958  
     

 

 

 
          Netherlands — 0.0%      
          Corporate Debt — 0.0%      

EUR

    490,150     Evander Gold Mines Ltd, Variable Rate,
10.00%, due 04/19/26 (e) (h)
    51  
     

 

 

 
          Ukraine — 0.1%      
          Corporate Debt — 0.1%      
    319,000     MHP Lux SA, 144A, 6.95%, due 04/03/26 (c) (h)     159,500  
    1,740,000     MHP Lux SA, Reg S, 6.25%, due 09/19/29 (c) (h)     852,600  
    814,000     MHP SE, Reg S, 7.75%, due 05/10/24 (c) (h)     423,280  
     

 

 

 
    Total Ukraine     1,435,380  
     

 

 

 
          United Kingdom — 0.1%      
          Corporate Debt — 0.1%      

GBP

    2,447,000     Deuce Finco Plc, Reg. S, 144A, 5.50%, due 06/15/27     2,347,365  
     

 

 

 
          United States — 32.8%      
          Asset-Backed Securities — 0.0%      
    7,063,382     Crest G-Star LP, Series 2001-1A, Class D, 144A, 9.00%, due 11/28/35 (h)     7  
     

 

 

 
          Bank Loans — 0.6%      
    253,261     American Consolidated Natural Resources, Inc., 2020 Exit Term Loan, Variable Rate, 1 mo. LIBOR plus 13.00%, 16.91%, due 09/16/25 (c)     253,261  
    4,016,250     American Tire Distributors Holdings, Inc.,
10.27%, due 10/20/28 (c)
    3,654,788  
    640,205     Envision Healthcare Corp., 2018 1st Lien Term Loan, Variable Rate, 2 mo. LIBOR plus
3.75%, 3.75%, due 10/10/25 (c)
    182,459  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Par Value†     Description       
Value ($)
 
          Bank Loans — continued      
    843,617     Envision Healthcare Corp., 2022 Third Out Term Loan, Variable Rate, 3mo. SOFR plus 4.25%,
7.88%, due 03/31/27 (c)
    189,814  
    344,808     Envision Healthcare Corp., 2022 Second Out Term Loan, Variable Rate, 1mo. SOFR plus 4.25%, 8.38%, due 03/31/27 (c)     115,511  
    2,429,173     Frontier Communications Corp., 2021 1st Lien Term Loan, Variable Rate, 3 mo. LIBOR plus 3.75%,
7.44%, due 05/01/28 (c)
    2,307,714  
    9,725,219     Gibson Brands, Inc., 2021 Term Loan, Variable Rate, 1 mo. LIBOR plus 5.00%, 9.13%, due 08/11/28 (c)     7,585,671  
    2,165,542     Peloton Interactive, Inc, Term Loan, Variable Rate, 8.35%, due 05/25/27 (c)     2,097,868  
    4,892,368     SeaWorld Parks & Entertainment, Inc., 2021 Term Loan B, Variable Rate, 1 mo. LIBOR plus 3.00%, 7.13%, due 08/25/28 (c)     4,786,350  
    1,260,370     TGP Holdings III LLC, 2021 Term Loan, Variable Rate, 1 mo. LIBOR plus 3.25%, 7.00%, due 06/29/28 (c)     1,009,090  
    166,188     TGP Holdings III LLC, 2021 Delayed Draw Term Loan, Variable Rate, 7.62%, due 06/29/28 (c)     133,055  
     

 

 

 
    Total Bank Loans     22,315,581  
     

 

 

 
          Corporate Debt — 3.0%      
    4,136,037     Alaska Airlines Pass-Through Trust – Class B, 144A, 8.00%, due 02/15/27     4,129,308  
    1,589,123     American Airlines Pass-Through Trust – Class B, 3.70%, due 11/01/24     1,558,492  
    4,652,703     American Airlines Pass-Through Trust – Class B, 4.40%, due 03/22/25     4,535,890  
    2,122,731     American Airlines Pass-Through Trust – Class B, 5.25%, due 07/15/25     2,061,681  
    5,212,736     American Airlines Pass-Through Trust – Class B, 4.95%, due 08/15/26     4,881,125  
    3,226,531     American Airlines Pass-Through Trust – Class B, 3.70%, due 04/15/27     2,915,210  
    2,499,205     American Airlines Pass-Through Trust – Class B, 3.75%, due 04/15/27     2,179,781  
    2,447,721     American Airlines Pass-Through Trust – Class B, 3.85%, due 08/15/29     2,048,967  
    1,759,925     American Airlines Pass-Through Trust – Class B, 144A, 4.38%, due 12/15/25     1,636,142  
    1,140,000     Antero Midstream Partners LP / Antero Midstream Finance Corp., 144A, 5.75%, due 01/15/28     1,077,300  
    1,188,000     Bath & Body Works, Inc., 6.88%, due 11/01/35     1,075,140  
    1,413,000     Boeing Co. (The), 5.93%, due 05/01/60     1,311,465  
    4,765,000     CEC Entertainment LLC, 144A, 6.75%, due 05/01/26     4,457,229  
Par Value†     Description       
Value ($)
 
          Corporate Debt — continued      
    7,850,000     Cedar Fair LP / Canada’s Wonderland Co. / Magnum Management Corp. / Millennium Op,
6.50%, due 10/01/28
    7,536,000  
    768,000     Cumulus Media New Holdings, Inc., 144A,
6.75%, due 07/01/26
    643,546  
    4,856,000     Dave & Buster’s, Inc., 144A, 7.63%, due 11/01/25     4,879,871  
    2,010,000     EnLink Midstream Partners LP, 5.60%, due 04/01/44     1,668,300  
    1,818,000     EnLink Midstream Partners LP, 5.05%, due 04/01/45     1,380,862  
    1,565,000     EnLink Midstream Partners LP, 5.45%, due 06/01/47     1,267,650  
    1,400,000     Esc Cb Gulfport Energy, 6.38%, due 01/15/26 (e) (h)     140  
    1,340,000     Ford Motor Credit Co. LLC, 5.58%, due 03/18/24     1,324,925  
    290,000     Ford Motor Credit Co. LLC, 4.27%, due 01/09/27     268,334  
    890,000     Ford Motor Credit Co. LLC, 5.11%, due 05/03/29     829,738  
    330,563     Frontier Communications Holdings LLC,
5.88%, due 11/01/29
    263,857  
    11,423,000     Frontier Communications Holdings LLC, 144A, 6.00%, due 01/15/30     9,347,212  
    860,000     Goldman Sachs Group, Inc. (The), Variable Rate, 5 year CMT + 3.22%, 4.95%, due 02/10/25     777,992  
    1,877,000     GPS Hospitality Holding Co. LLC / GPS Finco, Inc., 144A, 7.00%, due 08/15/28     1,284,750  
    18,156     Gulfport Energy Corp., 8.00%, due 05/17/26     18,097  
    432,458     JetBlue Pass-Through Trust, Series 1B – Class B, 7.75%, due 05/15/30     418,972  
    2,534,100     JPMorgan Chase & Co., Variable Rate, SOFR + 2.75%, 4.00%, due 04/01/25     2,105,406  
    2,615,000     Marriott Ownership Resorts, Inc.,
4.75%, due 01/15/28
    2,293,959  
    5,071,000     NCL Finance Ltd., 144A, 6.13%, due 03/15/28     3,908,106  
    1,540,000     Outfront Media Capital LLC/Outfront Media Capital Corp., 144A, 4.63%, due 03/15/30     1,289,050  
    1,454,000     Owens & Minor, Inc., 4.38%, due 12/15/24     1,388,359  
    4,931,000     Park Intermediate Holdings LLC / PK Domestic Property LLC/PK Finance Co-Issuer, 144A,
5.88%, due 10/01/28
    4,566,451  
    1,733,000     Redfin Corp., 0.00, due 10/15/25     1,031,135  
    6,282,000     Rithm Capital Corp., 144A, 6.25%, due 10/15/25     5,671,697  
    1,076,000     ROCC Holdings LLC, 144A, 9.25%, due 08/15/26     1,076,522  
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Par Value†     Description       
Value ($)
 
          Corporate Debt — continued      
    3,851,000     Royal Caribbean Cruises Ltd., 7.50%, due 10/15/27     3,385,596  
    1,953,000     Royal Caribbean Cruises Ltd., 144A,  
    5.50%, due 08/31/26     1,694,228  
    3,254,000     Royal Caribbean Cruises Ltd., 144A,  
    5.50%, due 04/01/28     2,656,078  
    2,967,000     SeaWorld Parks & Entertainment, Inc.,  
    144A, 8.75%, due 05/01/25     3,033,672  
    3,495,000     Tempur Sealy International, Inc., 144A,  
    3.88%, due 10/15/31     2,713,203  
    1,878,000     Townsquare Media, Inc., 144A, 6.88%, due 02/01/26     1,742,236  
    2,230,000     Triumph Group, Inc., 144A, 8.88%, due 06/01/24     2,280,175  
    1,846,000     United Wholesale Mortgage LLC, 144A,
5.75%, due 06/15/27
    1,633,710  
    1,680,000     Wayfair, Inc., 0.63%, due 10/01/25     1,071,000  
    3,921,000     Wynn Resorts Finance LLC / Wynn Resorts Capital Corp., 144A, 5.13%, due 10/01/29     3,407,772  
    2,278,000     XHR LP, 144A, 4.88%, due 06/01/29     1,947,075  
     

 

 

 
    Total Corporate Debt     114,673,406  
     

 

 

 
          U.S. Government — 29.2%      
    298,000,000     U.S. Treasury Note, 0.13%, due 02/28/23     294,877,460  
    247,300,000     U.S. Treasury Note, 0.13%, due 04/30/23 (a) (i)     242,692,106  
    205,000,000     U.S. Treasury Note, 0.13%, due 06/30/23 (a)     199,562,695  
    100,000,000     U.S. Treasury Note, 0.13%, due 07/31/23     96,988,281  
    70,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 10/31/23     70,052,603  
    175,000,000     U.S. Treasury Note, Variable Rate, USBM - 0.08%, 4.26%, due 04/30/24     174,692,898  
    52,105,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 07/31/24 (a)     52,038,577  
     

 

 

 
    Total U.S. Government     1,130,904,620  
     

 

 

 
    Total United States     1,267,893,614  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $1,311,486,159)
    1,282,495,526  
     

 

 

 
Shares /
Par Value†
    Description       
Value ($)
 
    MUTUAL FUNDS — 0.4%  
          United States — 0.4%      
          Affiliated Issuers — 0.4%      
    2,585,945     GMO U.S. Treasury Fund     12,878,006  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $12,981,989)
    12,878,006  
     

 

 

 
    SHORT-TERM INVESTMENTS — 4.8%

 

          Money Market Funds — 0.2%      
    7,591,756     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (j)     7,591,756  
    872,228     State Street U.S. Treasury Liquidity Fund – Class D, 3.69% (i)     872,228  
     

 

 

 
    Total Money Market Funds     8,463,984  
     

 

 

 
          Repurchase Agreements — 4.1%      
    159,910,888     Daiwa Capital Markets America, Inc. Repurchase Agreement, dated 11/30/22, maturing on 12/01/22 with a maturity value of $159,927,767 and an effective yield of 3.80%, collateralized by a U.S. Treasury Note with maturity date 04/30/29 and a market value of $163,174,375.     159,910,888  
     

 

 

 
          U.S. Government — 0.5%      
    18,500,000     U.S. Treasury Bill, 4.61%, due 05/18/23 (a) (i) (k)     18,113,399  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $186,681,382)
    186,488,271  
     

 

 

 
 

PURCHASED OPTIONS – 0.0%

 

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

Equity Options – Puts – 0.0%

                

Continental Resources, Inc.

   70.00      12/16/22        1,237        USD       9,187,817      6,185
                

 

   TOTAL PURCHASED OPTIONS
(COST $42,837)

 

   6,185
                

 

  

TOTAL INVESTMENTS — 120.9%

(Cost $5,175,183,791)

 

 

   4,676,589,846
                

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
    SECURITIES SOLD SHORT — (23.6)%

 

          Common Stocks — (23.4)%  
          Australia — (0.5)%      
    (105,394   ASX Ltd     (5,080,393
    (22,249   Cochlear Ltd     (3,272,348
    (16,433   Domino’s Pizza Enterprises Ltd     (752,623
    (130,199   IDP Education Ltd     (2,680,590
    (1,328,108   Qantas Airways Ltd *     (5,703,733
    (48,635   Ramsay Health Care Ltd     (2,188,814
     

 

 

 

    Total Australia     (19,678,501
     

 

 

 
          Austria — (0.2)%      
    (66,714   Verbund AG     (6,039,191
     

 

 

 
          Belgium — (0.2)%      
    (105,684   Anheuser-Busch InBev SA/NV     (6,232,754
     

 

 

 
          Canada — (1.3)%      
    (83,500   Agnico Eagle Mines Ltd     (4,205,895
    (333,500   Algonquin Power & Utilities Corp     (2,517,925
    (254,400   AltaGas Ltd     (4,268,526
    (49,800   BCE Inc     (2,372,472
    (140,500   Brookfield Renewable Corp – Class A     (4,581,705
    (145,100   Enbridge Inc     (5,991,179
    (41,700   Franco-Nevada Corp     (6,093,204
    (325,800   Pan American Silver Corp     (5,339,862
    (179,400   Pembina Pipeline Corp     (6,544,512
    (105,800   Restaurant Brands International Inc     (7,019,830
    (43,400   Ritchie Bros Auctioneers Inc     (2,380,490
     

 

 

 
    Total Canada     (51,315,600
     

 

 

 
          Denmark — (0.1)%      
    (5,540   Coloplast A/S – Class B     (654,921
    (93,412   Tryg A/S     (2,173,333
     

 

 

 
    Total Denmark     (2,828,254
     

 

 

 
          Finland — (0.0)%      
    (23,688   Elisa Oyj     (1,232,184
     

 

 

 
          France — (0.8)%      
    (190,790   Accor SA *     (5,025,441
    (35,215   Aeroports de Paris *     (5,427,954
    (9,184   Euronext NV     (702,563
    (359,213   Getlink SE     (5,936,135
    (4,488   Hermes International     (7,294,247
    (5,580   Sartorius Stedim Biotech     (1,904,472
    (21,144   Ubisoft Entertainment SA *     (588,188
    (24,439   Wendel SE     (2,275,609
     

 

 

 
    Total France     (29,154,609
     

 

 

 
          Germany — (0.9)%      
    (143,565   Delivery Hero SE *     (6,284,224
    (29,524   Deutsche Boerse AG     (5,425,757
Shares     Description       
Value ($)
 
          Germany — continued      
    (12,678   MTU Aero Engines AG     (2,673,322
    (4,016   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Registered)     (1,268,479
    (41,837   Puma SE     (2,165,218
    (9,179   QIAGEN NV *     (458,263
    (4,733   Rational AG     (2,973,763
    (10,342   Scout24 SE     (567,653
    (51,983   Symrise AG – Class A     (5,961,864
    (1,783,821   Telefonica Deutschland Holding AG     (4,266,453
    (27,297   Zalando SE *     (858,567
     

 

 

 
    Total Germany     (32,903,563
     

 

 

 
          Ireland — (0.0)%      
    (5,899   Flutter Entertainment Plc *     (878,346
     

 

 

 
          Israel — (0.2)%      
    (40,600   CyberArk Software Ltd *     (6,052,242
    (18,400   Wix.com Ltd *     (1,665,016
     

 

 

 
    Total Israel     (7,717,258
     

 

 

 
          Italy — (0.6)%      
    (163,918   Amplifon SPA     (4,643,323
    (26,849   Ferrari NV (d)     (5,992,748
    (9,400   Ferrari NV (d)     (2,096,670
    (441,398   FinecoBank Banca Fineco SPA     (7,169,056
    (503,761   Infrastrutture Wireless Italiane SPA     (5,024,395
     

 

 

 
    Total Italy     (24,926,192
     

 

 

 
          Japan — (2.4)%      
    (184,300   Aeon Co Ltd     (3,803,529
    (269,600   ANA Holdings Inc *     (5,804,980
    (212,900   Asahi Intecc Co Ltd     (3,811,088
    (1,500   Fast Retailing Co Ltd     (891,959
    (58,700   GMO Payment Gateway Inc     (5,314,652
    (285,900   Japan Airlines Co Ltd *     (5,714,900
    (141,800   Japan Exchange Group Inc     (2,053,145
    (95,600   Keio Corp     (3,581,433
    (53,300   Keisei Electric Railway Co Ltd     (1,526,962
    (25,400   Kintetsu Group Holdings Co Ltd     (907,826
    (33,600   Lasertec Corp     (6,333,665
    (192,600   M3 Inc     (6,040,470
    (372,700   MonotaRO Co Ltd     (6,447,811
    (64,100   Nidec Corp     (4,036,541
    (277,000   Nihon M&A Center Holdings Inc     (3,792,316
    (420,800   Nippon Paint Holdings Co Ltd     (3,484,959
    (26,300   Nissin Foods Holdings Co Ltd     (2,004,191
    (254,500   Odakyu Electric Railway Co Ltd     (3,359,503
    (39,900   Oriental Land Co Ltd     (5,767,565
    (1,042,200   Rakuten Group Inc     (5,007,322
    (62,200   Shiseido Co Ltd     (2,656,558
    (107,800   Tobu Railway Co Ltd     (2,602,448
    (255,200   Tokyu Corp     (3,259,187
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          Japan — continued      
    (123,400   West Japan Railway Co     (5,256,800
     

 

 

 
    Total Japan     (93,459,810
     

 

 

 
          Netherlands — (0.6)%      
    (3,939   Adyen NV *     (6,205,180
    (34,563   IMCD NV     (5,112,014
    (173,206   Just Eat Takeaway.com NV *     (4,012,869
    (14,645   OCI NV     (619,981
    (281,603   Universal Music Group NV     (6,696,735
     

 

 

 
    Total Netherlands     (22,646,779
     

 

 

 
          New Zealand — (0.1)%      
    (101,715   Xero Ltd *     (5,054,754
     

 

 

 
          Norway — (0.1)%      
    (161,515   Aker BP ASA     (5,619,148
     

 

 

 
          Peru — (0.2)%      
    (111,055   Southern Copper Corp     (6,776,576
     

 

 

 
          Singapore — (0.2)%      
    (463,500   Grab Holdings Ltd – Class A *     (1,399,770
    (567,700   Singapore Airlines Ltd     (2,303,194
    (554,800   Singapore Exchange Ltd     (3,713,496
     

 

 

 
    Total Singapore     (7,416,460
     

 

 

 
          Spain — (0.3)%      
    (156,192   Cellnex Telecom SA *     (5,371,211
    (259,866   Ferrovial SA     (6,988,395
     

 

 

 
    Total Spain     (12,359,606
     

 

 

 
          Sweden — (0.2)%      
    (65,221   Evolution AB     (6,718,021
     

 

 

 
          Switzerland — (0.3)%      
    (9   Chocoladefabriken Lindt & Spruengli AG (Registered)     (926,899
    (5,192   Partners Group Holding AG     (5,173,150
    (7,423   Sika AG (Registered)     (1,897,026
    (38,962   Straumann Holding AG (Registered)     (4,547,309
     

 

 

 
    Total Switzerland     (12,544,384
     

 

 

 
          United Kingdom — (1.1)%      
    (62,276   Admiral Group Plc     (1,522,522
    (713,591   Auto Trader Group Plc     (4,926,138
    (1,633   Croda International Plc     (135,041
    (62,577   Halma Plc     (1,659,937
    (381,249   Hargreaves Lansdown Plc     (3,928,193
    (953,698   Informa Plc     (7,152,064
    (68,522   InterContinental Hotels Group Plc     (3,988,198
    (70,748   London Stock Exchange Group Plc     (7,084,383
    (562,807   Ocado Group Plc *     (4,260,866
    (6,077,018   Rolls-Royce Holdings Plc *     (6,733,630
Shares     Description       
Value ($)
 
          United Kingdom — continued      
    (16,397   Spirax-Sarco Engineering Plc     (2,239,361
     

 

 

 
    Total United Kingdom     (43,630,333
     

 

 

 
          United States — (13.1)%      
    (246,100   AES Corp. (The)     (7,117,212
    (31,900   Alnylam Pharmaceuticals, Inc. *     (7,036,821
    (108,700   Altria Group, Inc.     (5,063,246
    (13,700   American Tower Corp. (REIT)     (3,031,125
    (4,700   Amgen, Inc.     (1,346,080
    (18,100   Aon Plc – Class A     (5,579,868
    (145,300   Aramark     (6,044,480
    (34,300   Arthur J Gallagher & Co.     (6,829,473
    (22,600   Autodesk, Inc. *     (4,564,070
    (10,700   Automatic Data Processing, Inc.     (2,826,298
    (12,369   Beacon Roofing Supply, Inc. *     (722,226
    (45,600   Bill.Com Holdings, Inc. *     (5,491,152
    (24,100   BioMarin Pharmaceutical, Inc. *     (2,433,618
    (59,600   Bio-Techne Corp.     (5,065,404
    (39,200   Boeing Co. (The) *     (7,012,096
    (26,502   Broadcom, Inc.     (14,603,397
    (39,900   Burlington Stores, Inc. *     (7,807,632
    (131,400   Caesars Entertainment, Inc. *     (6,676,434
    (97,100   Ceridian HCM Holding, Inc. *     (6,645,524
    (50,469   Charter Communications, Inc. – Class A *     (19,748,015
    (4,200   Chipotle Mexican Grill, Inc. – Class A *     (6,833,232
    (112,100   Cloudflare, Inc. – Class A *     (5,508,594
    (22,800   CME Group, Inc.     (4,024,200
    (237,598   Columbia Banking System, Inc.     (8,092,588
    (107,000   Coupa Software, Inc. *     (6,766,680
    (19,400   Crown Castle, Inc. (REIT)     (2,743,742
    (161,200   Delta Air Lines, Inc. *     (5,701,644
    (56,600   Dexcom, Inc. *     (6,581,448
    (40,500   Diamondback Energy, Inc.     (5,994,810
    (68,700   Dominion Energy, Inc.     (4,198,257
    (43,800   Equity LifeStyle Properties, Inc. (REIT)     (2,909,196
    (1,200   Erie Indemnity Co. – Class A     (338,868
    (54,400   Essential Utilities, Inc.     (2,624,256
    (142,500   Exact Sciences Corp. *     (6,405,375
    (103,000   Fastenal Co.     (5,305,530
    (104,800   Fortinet, Inc. *     (5,571,168
    (50,866   Frontier Communications Parent, Inc. *     (1,310,817
    (17,700   Gartner, Inc. *     (6,201,549
    (85,300   Guidewire Software, Inc. *     (5,059,143
    (29,158   HEICO Corp.     (4,732,635
    (29,700   Hess Corp.     (4,274,127
    (17,800   HubSpot, Inc. *     (5,393,934
    (15,100   IDEXX Laboratories, Inc. *     (6,430,637
    (92,100   Ingersoll Rand, Inc.     (4,970,637
    (22,000   Insulet Corp. *     (6,586,140
    (23,541   Intercontinental Exchange, Inc.     (2,549,726
    (29,500   IQVIA Holdings, Inc. *     (6,431,590
    (63,300   Iron Mountain, Inc. (REIT)     (3,439,089
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Shares     Description       
Value ($)
 
          United States — continued      
    (484,975   Liberty Global Plc – Class C *     (10,029,283
    (146,233   Liberty Media Corp.-Liberty Formula One – Class C *     (8,911,439
    (19,300   Linde Plc *     (6,494,064
    (63,500   Live Nation Entertainment, Inc. *     (4,620,260
    (1,000   LPL Financial Holdings, Inc.     (236,710
    (20,800   MarketAxess Holdings, Inc.     (5,572,736
    (12,800   Marriott International, Inc. – Class A     (2,116,480
    (30,400   Marsh & McLennan Cos., Inc.     (5,264,672
    (43,398   MaxLinear, Inc. *     (1,588,367
    (10,700   McDonald’s Corp.     (2,918,853
    (7,600   McKesson Corp.     (2,900,768
    (31,700   MongoDB, Inc. – Class A *     (4,840,273
    (9,800   Monolithic Power Systems, Inc.     (3,743,208
    (10,600   Moody’s Corp.     (3,161,662
    (2,800   Motorola Solutions, Inc.     (762,160
    (12,800   MSCI, Inc. – Class A     (6,500,224
    (463,975   New York Community Bancorp, Inc.     (4,338,166
    (83,000   Newmont Corp.     (3,940,010
    (186,800   NiSource, Inc.     (5,219,192
    (83,000   Novocure Ltd. *     (6,377,720
    (101,600   Okta, Inc. *     (5,417,312
    (86,000   ONEOK, Inc.     (5,755,120
    (536,400   Palantir Technologies, Inc. – Class A *     (4,023,000
    (45,800   Paychex, Inc.     (5,680,574
    (60,700   Philip Morris International, Inc.     (6,049,969
    (19,900   PTC, Inc. *     (2,531,479
    (3,500   Public Storage (REIT)     (1,042,860
    (134,400   ROBLOX Corp. – Class A *     (4,269,888
    (89,200   Roku, Inc. *     (5,295,804
    (152,750   Rollins, Inc.     (6,177,210
    (115,100   Royal Caribbean Cruises Ltd. *     (6,897,943
    (3,600   RPM International, Inc.     (373,032
    (10,300   S&P Global, Inc.     (3,633,840
    (39,500   Seagen, Inc. *     (4,794,905
    (13,200   ServiceNow, Inc. *     (5,495,160
    (23,100   Sherwin-Williams Co. (The)     (5,756,058
    (25,700   Simon Property Group, Inc. (REIT)     (3,069,608
    (106,700   Snap, Inc. – Class A *     (1,100,077
    (31,100   Snowflake, Inc. – Class A *     (4,444,190
    (63,900   Starbucks Corp.     (6,530,580
    (60,800   Sysco Corp.     (5,259,808
    (185,800   Teladoc Health, Inc. *     (5,297,158
    (27,000   Tesla, Inc. *     (5,256,900
    (9,300   T-Mobile U.S., Inc. *     (1,408,578
    (100,900   Trade Desk, Inc. (The) – Class A *     (5,260,926
    (8,600   TransDigm Group, Inc.     (5,405,100
    (107,200   Twilio, Inc. – Class A *     (5,254,944
    (193,900   Uber Technologies, Inc. *     (5,650,246
    (63,700   UDR, Inc. (REIT)     (2,641,639
    (22,800   Vail Resorts, Inc.     (5,871,912
    (11,800   Vulcan Materials Co.     (2,163,294
Shares /
Par Value†
    Description   Value ($)  
          United States — continued      
    (208,100   Williams Cos., Inc. (The)     (7,221,070
    (67,749   Zillow Group, Inc. – Class C *     (2,573,107
    (200   Zoetis, Inc.     (30,828
    (38,100   Zscaler, Inc. *     (5,084,445
     

 

 

 
    Total United States     (504,878,594
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $1,009,657,639)
    (904,010,917
     

 

 

 
          PREFERRED STOCKS (g) — (0.1)%  
          Germany — (0.1)%  
    (13,594   Sartorius AG     (5,110,756
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $5,519,138)
    (5,110,756
     

 

 

 
          DEBT OBLIGATIONS — (0.1)%  
          China — (0.1)%  
          Corporate Debt — (0.1)%      
    (3,610,000   Huarong Finance Co Ltd, 3.75%, due 05/29/24     (3,401,098
    (1,390,000   Huarong Finance II Co Ltd, 5.50%, due 01/16/25     (1,312,973
     

 

 

 
    Total China     (4,714,071
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(PROCEEDS $4,710,100)
    (4,714,071
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $1,019,886,877)
    (913,835,744
    Other Assets and Liabilities (net) —2.7%     105,577,767  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $3,868,331,869  
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Additional information on each restricted security is as follows:

 

Issuer Description

  Acquisition Date   Acquisition
Cost
    Value as a
Percentage
of Fund’s
Net Assets
  Value as of
November 30,
2022
 
Alrosa PJSC   12/06/17   $ 15,372,968     0.0%   $ 761,137  
Magnitogorsk Iron & Steel Works PJSC   06/16/21     4,815,566     0.0%     206,448  
PhosAgro PJSC GDR   10/15/21     2,792     0.0%     291  
Sberbank of Russia PJSC   09/09/20     29,636,901     0.0%     1,255,014  
Sberbank of Russia PJSC   01/10/22     183,324     0.0%     7,424  
Severstal PAO   02/02/21     126,125     0.0%     6,681  
Severstal PJSC GDR (Registered)   10/23/17     5,003,828     0.0%     236,777  
VTB Bank PJSC   01/09/20     587,690     0.0%     14,522  
       

 

 

 
        $ 2,488,294  
       

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Forward Currency Contracts

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/17/2023   DB   CAD     4,445,328       USD       3,310,413       3,205  
02/16/2023   JPM   CHF     24,792,875       USD       26,464,453       17,381  
01/31/2023   BCLY   CHF     32,058,675       USD       34,142,384       7,797  
01/18/2023   JPM   CZK     181,911,617       USD       7,772,008       13,706  
01/18/2023   MSCI   EUR     1,004,700       USD       1,051,480       1,940  
01/31/2023   SSB   EUR     30,650,000       USD       32,119,055       72,378  
02/08/2023   MSCI   SEK     128,000,000       USD       12,312,842       67,117  
02/09/2023   JPM   USD     11,016,665       AUD       16,380,000       133,664  
01/23/2023   UBSA   USD     2,366,758       AUD       3,502,209       15,626  
01/23/2023   DB   USD     36,062       AUD       53,569       378  
12/02/2022   MSCI   USD     14,666,785       BRL       78,653,512       489,933  
12/02/2022   GS   USD     1,116,546       BRL       5,900,000       20,398  
02/02/2023   MSCI   USD     7,085,918       BRL       38,626,756       269,528  
12/02/2022   CITI   USD     1,378,893       BRL       7,300,000       27,834  
02/02/2023   MSCI   USD     30,491,272       CAD       41,503,042       391,667  
02/02/2023   BCLY   USD     10,762,538       CAD       14,510,000       34,536  
02/07/2023   BOA   USD     3,565,068       CAD       4,820,068       21,904  
01/17/2023   MSCI   USD     1,538,602       CAD       2,083,474       11,449  
01/12/2023   MSCI   USD     2,219,726       CLP       2,090,000,000       111,934  
01/31/2023   MSCI   USD     18,075,788       EUR       17,304,442       17,193  
01/31/2023   DB   USD     2,237,404       EUR       2,147,078       7,513  
02/21/2023   MSCI   USD     4,101,540       GBP       3,470,000       90,979  
02/16/2023   MSCI   USD     1,392,153       HUF       564,351,113       13,287  
02/16/2023   CITI   USD     996,693       HUF       405,000,000       11,905  
02/03/2023   JPM   USD     7,511,275       IDR       117,927,015,400       15,322  
12/12/2022   MSCI   USD     32,443,614       JPY       4,677,956,547       1,472,678  
01/17/2023   MSCI   USD     28,893,620       JPY       4,199,470,971       1,703,682  
12/12/2022   BCLY   USD     1,473,392       JPY       218,296,089       109,307  
12/12/2022   JPM   USD     1,896,902       JPY       279,557,500       129,956  
01/17/2023   BCLY   USD     16,296,851       JPY       2,353,713,488       852,281  
01/17/2023   DB   USD     120,174       JPY       16,694,721       1,463  
01/24/2023   MSCI   USD     7,304,391       MXN       149,181,232       356,563  
01/18/2023   MSCI   USD     31,300,334       NOK       328,522,042       2,116,107  
01/24/2023   MSCI   USD     320,954       NZD       522,768       8,713  
01/12/2023   MSCI   USD     2,769,490       PEN       11,120,000       119,565  
12/02/2022   CITI   USD     1,330,398       PHP       76,000,000       13,308  
12/02/2022   JPM   USD     897,385       PHP       51,500,000       13,153  
12/05/2022   SSB   USD     147,340       PHP       8,329,112       131  

Settlement
Date

 

Counter-
party

 

Currency
Sold

    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
02/21/2023   BCLY   USD     677,589       PLN       3,150,000       15,181  
02/08/2023   MSCI   USD     11,863,506       SEK       129,427,296       518,767  
02/08/2023   BCLY   USD     3,909,820       SEK       41,500,000       60,474  
02/21/2023   GS   USD     663,076       SGD       910,000       6,226  
02/21/2023   MSCI   USD     679,740       THB       24,000,000       6,587  
02/06/2023   CITI   USD     789,720       TWD       24,000,000       3,639  
01/23/2023   BCLY   AUD     2,105,236       USD       1,421,217       (10,873
01/23/2023   DB   AUD     1,386,682       USD       919,608       (23,685
12/02/2022   CITI   BRL     7,300,000       USD       1,344,150       (62,577
12/02/2022   MSCI   BRL     78,653,512       USD       14,734,995       (421,723
12/02/2022   GS   BRL     5,900,000       USD       1,114,448       (22,496
02/07/2023   MSCI   CAD     23,890,992       USD       17,680,359       (98,716
02/16/2023   JPM   CHF     6,550,000       USD       6,948,386       (38,635
01/31/2023   SSB   CHF     931,543       USD       990,351       (1,513
01/31/2023   MSCI   CHF     1,204,898       USD       1,274,512       (8,408
01/12/2023   MSCI   CLP     1,700,274,000       USD       1,758,025       (138,845
01/18/2023   MSCI   EUR     100,200       USD       103,783       (889
02/21/2023   BBH   GBP     1,083,800       USD       1,287,597       (21,871
01/23/2023   BCLY   GBP     1,258,745       USD       1,501,614       (18,179
02/21/2023   MSCI   GBP     927,800       USD       1,101,453       (19,532
02/21/2023   BCLY   GBP     3,470,000       USD       4,152,052       (40,466
02/03/2023   MSCI   IDR     12,200,000,000       USD       773,616       (5,039
02/28/2023   JPM   ILS     10,187,392       USD       2,975,724       (26,699
02/23/2023   MSCI   INR     572,193,440       USD       6,952,195       (46,685
12/12/2022   MSCI   JPY     86,404,203       USD       596,633       (29,818
12/12/2022   DB   JPY     89,994,982       USD       619,491       (32,994
12/12/2022   BCLY   JPY     650,415,524       USD       4,384,096       (331,570
01/17/2023   DB   JPY     239,447,229       USD       1,706,422       (38,188
02/03/2023   JPM   KRW     8,180,418,559       USD       5,740,121       (539,155
01/24/2023   BCLY   NZD     1,575,763       USD       969,882       (23,823
02/28/2023   MSCI   NZD     26,330,000       USD       16,375,154       (238,295
01/24/2023   MSCI   NZD     1,023,490       USD       638,007       (7,425
01/24/2023   DB   NZD     1,069,948       USD       667,068       (7,661
01/12/2023   MSCI   PEN     4,280,000       USD       1,063,090       (48,884
12/02/2022   JPM   PHP     240,626,450       USD       4,145,516       (108,842
02/01/2023   BCLY   PHP     113,126,450       USD       1,997,289       (5,597
02/21/2023   MSCI   PLN     9,383,099       USD       2,023,746       (39,852
02/27/2023   BCLY   RON     30,673,094       USD       6,378,519       (61,993
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Forward Currency Contracts — continued

 

Settlement
Date

 

Counter-
party

 

Currency
Sold

    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/27/2023   BOA   SEK     15,077,216       USD       1,383,359       (58,023
02/08/2023   BCLY   SEK     54,000,000       USD       5,138,819       (27,346
02/21/2023   MSCI   SGD     5,556,457       USD       4,033,989       (52,770
02/21/2023   BCLY   THB     219,598,956       USD       6,196,359       (83,504
02/06/2023   BCLY   TWD     250,515,523       USD       7,827,143       (454,050
02/02/2023   JPM   USD     6,828,305       CAD       9,160,000       (12,233
01/17/2023   DB   USD     829,309       CAD       1,112,273       (1,807
02/07/2023   BOA   USD     2,086,004       CAD       2,802,479       (470
01/12/2023   MSCI   USD     8,305,821       COP       38,921,529,900       (299,220
02/16/2023   BOA   USD     603,031       HUF       240,000,000       (5,343
01/27/2023   BOA   USD     1,450,761       SEK       15,077,216       (9,379
           

 

 

 
            $ 5,851,282  
           

 

 

 
 

 

Futures Contracts

 

Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
436   CAC40 10 Euro     December 2022       30,869,655       723,873  
203   Corn (i)     March 2023       6,770,050       (32,158
8   DAX Index     December 2022       3,036,581       436,956  
429   FTSE 100 Index     December 2022       39,450,009       1,088,069  
47   Hang Seng Index     December 2022       5,646,587       345,514  
1,701   Mini MSCI Emerging Markets     December 2022       83,561,625       2,687,991  
543   MSCI Singapore     December 2022       11,935,375       182,602  
33   Silver (i)     March 2023       3,593,865       18,854  
235   Soybean (i)     January 2023       17,266,625       912,002  
9   TOPIX Index     December 2022       1,312,254       31,216  
     

 

 

   

 

 

 
      $ 203,442,626     $ 6,394,919  
     

 

 

   

 

 

 
Number
of
Contracts +
 

Type

  Expiration
Date
    Notional
Amount ($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
36   Australian Government Bond 10 Yr.     December 2022       2,948,316       (15,649
203   Canadian Government Bond 10 Yr.     March 2023       18,975,742       (65,475
172   E-mini Russell 2000 Index     December 2022       16,232,500       (411,882
33   Euro Bund     December 2022       4,837,791       (12,809
16   Euro Bund     March 2023       2,334,773       (739
187   FTSE Taiwan Index     December 2022       9,836,152       (196,144
53   Gold 100 OZ (i)     February 2023       9,327,470       (25,505
844   S&P 500 E-Mini     December 2022       172,228,750       73,254  
69   S&P/TSX 60     December 2022       12,724,336       (748,925
38   SPI 200 Futures     December 2022       4,749,466       (135,287
352   U.S. Treasury Note 10 Yr. (CBT)     March 2023       39,952,000       (215,806
10   UK Gilt Long Bond     March 2023       1,265,393       6,296  
21   WTI Crude (i)     December 2022       1,691,550       159,081  
     

 

 

   

 

 

 
      $ 297,104,239     $ (1,589,590
     

 

 

   

 

 

 

 

+

Buys - Fund is long the futures contract.

 

Sales - Fund is short the futures contract.

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Written Options

 

Description

 

Exercise
Price

  Expiration
Date
    Number of
Contracts
   

Notional
Amount

  Value ($)  

Equity Options – Calls

 

Continental Resources, Inc.

  70.00     12/16/22       (940   USD (6,981,850)     (404,200
         

 

 

 
  TOTAL WRITTEN OPTIONS  
  (Premiums $374,055)     $(404,200)  
         

 

 

 

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^:

                   

United Rentals North America, Inc.

  USD     2,280,000       5.00%       0.84%       N/A       12/20/2024       Quarterly     $ 5,700     $ (185,307   $ (191,007
               

 

 

   

 

 

   

 

 

 

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%       0.48%     N/A       12/20/2024       Quarterly       96,637       (11,702     (108,339

HCA, Inc.

  BCLY   USD     1,140,000       5.00%       0.69%     N/A       12/20/2024       Quarterly       (139,584     (96,278     43,306  

Tenet Healthcare Corp.

  JPM   USD     570,000       5.00%       2.85%     N/A       12/20/2024       Quarterly       14,842       (23,401     (38,243

Tenet Healthcare Corp.

  JPM   USD     1,140,000       5.00%       2.85%     N/A       12/20/2024       Quarterly       142,500       (46,802     (189,302

American Airlines Group, Inc.

  GS   USD     1,120,000       5.00%       10.64%     N/A       12/20/2025       Quarterly       232,400       148,478       (83,922

American Airlines Group, Inc.

  BCLY   USD     2,970,000       5.00%       10.72%     N/A       06/20/2026       Quarterly       564,300       440,068       (124,232

Sell Protection^:

                       

American Airlines Group, Inc.

  GS   USD     1,120,000       5.00%       6.18%     1,120,000   USD     12/20/2023       Quarterly       (128,800     (13,067     115,733  

American Airlines Group, Inc.

  BCLY   USD     2,970,000       5.00%       7.97%     2,970,000   USD     06/20/2024       Quarterly       (222,750     (123,111     99,639  
                   

 

 

   

 

 

   

 

 

 
  $ 559,545     $ 274,185     $ (285,360
 

 

 

   

 

 

   

 

 

 

 

^

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, 2022, implied credit spreads in absolute terms, calculated using a model, and utilized in determining the market value of credit default swap contracts on the reference security, serve as an indicator of the current status of the payment/performance risk and reflect the likelihood or risk of default for the reference entity. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection. Wider (i.e. higher) credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the contract.

(2)

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


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Centrally Cleared Interest Rate Swaps

 

Fund Pays

 

Fund Receives

 

Notional

Amount

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

3.86%

  3 Month AUD BBSW   AUD     88,835,000       12/21/2024     Quarterly     (67,901     (233,169     (165,268

3.91%

  3 Month AUD BBSW   AUD     45,500,000       12/21/2024     Quarterly           (148,638     (148,638

4.08%

  3 Month CAD CDOR   CAD     157,900,000       12/21/2024     Semi-Annually     (3,224     632,833       636,057  

4.25%

  3 Month CAD CDOR   CAD     26,000,000       12/21/2024     Semi-Annually           43,322       43,322  

3 Month CAD CDOR

  4.15%   CAD     70,000,000       12/21/2024     Semi-Annually           (214,248     (214,248

CHF - SARON - OIS - COMPOUND

  1.39%   CHF     35,500,000       12/21/2024     Semi-Annually           121,704       121,704  

CHF - SARON - OIS - COMPOUND

  1.74%   CHF     72,500,000       12/21/2024     Semi-Annually           782,225       782,225  

1.81%

  CHF - SARON - OIS - COMPOUND   CHF     173,146,000       12/21/2024     Semi-Annually     (13,914     (2,129,615     (2,115,701

1.40%

  CHF - SARON - OIS - COMPOUND   CHF     24,000,000       12/21/2024     Semi-Annually           (84,814     (84,814

EUR - EuroSTR - COMPOUND

  2.59%   EUR     62,500,000       12/21/2024     Annually           (68,793     (68,793

EUR - EuroSTR - COMPOUND

  2.64%   EUR     21,500,000       12/21/2024     Annually           (4,422     (4,422

2.14%

  EUR - EuroSTR - COMPOUND EUR       35,694,000       12/21/2024     Annually     8,672       372,193       363,521  

2.94%

  EUR - EuroSTR - COMPOUND EUR       42,000,000       12/21/2024     Annually           (246,385     (246,385

GBP - SONIA - COMPOUND

  3.96%   GBP     134,260,000       12/21/2024     Annually     (338,433     (1,280,195     (941,762

GBP - SONIA - COMPOUND

  4.58%   GBP     20,000,000       12/21/2024     Annually           91,341       91,341  

4.26%

  GBP - SONIA - COMPOUND   GBP     41,000,000       12/21/2024     Annually           112,712       112,712  

5.22%

  GBP - SONIA - COMPOUND   GBP     33,500,000       12/21/2024     Annually           (640,902     (640,902

5.36%

  GBP - SONIA - COMPOUND   GBP     28,500,000       12/21/2024     Annually           (635,620     (635,620

3 Month SEK STIBOR

  3.29%   SEK     1,184,268,000       12/21/2024     Quarterly     243,686       196,844       (46,842

3 Month SEK STIBOR

  3.45%   SEK     265,000,000       12/21/2024     Quarterly           119,100       119,100  

USD - SOFR - COMPOUND

  4.59%   USD     32,000,000       12/21/2024     Semi-Annually           121,961       121,961  

3.58%

  USD - SOFR - COMPOUND   USD     24,865,000       12/21/2024     Semi-Annually     8,361       381,015       372,654  

4.47%

  USD - SOFR - COMPOUND   USD     49,500,000       12/21/2024     Semi-Annually           (82,458     (82,458

6 Month AUD BBSW

  4.14%   AUD     10,400,000       12/21/2032     Semi-Annually           (9,888     (9,888

6 Month AUD BBSW

  4.19%   AUD     10,600,000       12/21/2032     Semi-Annually           19,045       19,045  

6 Month AUD BBSW

  4.21%   AUD     13,700,000       12/21/2032     Semi-Annually           41,724       41,724  

6 Month AUD BBSW

  4.25%   AUD     42,624,000       12/21/2032     Semi-Annually     99,802       219,004       119,202  

6 Month AUD BBSW

  4.25%   AUD     20,396,000       12/21/2032     Semi-Annually     47,758       104,797       57,039  

6 Month AUD BBSW

  4.29%   AUD     13,500,000       12/21/2032     Semi-Annually           103,307       103,307  

6 Month AUD BBSW

  4.57%   AUD     30,000,000       12/21/2032     Semi-Annually           694,974       694,974  

6 Month AUD BBSW

  4.73%   AUD     34,600,000       12/21/2032     Semi-Annually           1,107,847       1,107,847  

4.48%

  6 Month AUD BBSW   AUD     23,700,000       12/21/2032     Semi-Annually           (424,062     (424,062

3.71%

  3 Month CAD CDOR   CAD     62,622,000       12/21/2032     Semi-Annually     (28,435     (929,465     (901,030

3.66%

  3 Month CAD CDOR   CAD     8,000,000       12/21/2032     Semi-Annually           (94,012     (94,012

3.55%

  3 Month CAD CDOR   CAD     24,700,000       12/21/2032     Semi-Annually           (121,598     (121,598

3.57%

  3 Month CAD CDOR   CAD     12,100,000       12/21/2032     Semi-Annually           (71,972     (71,972

3.65%

  3 Month CAD CDOR   CAD     23,500,000       12/21/2032     Semi-Annually           (264,301     (264,301

3.68%

  3 Month CAD CDOR   CAD     15,800,000       12/21/2032     Semi-Annually           (210,591     (210,591

3 Month CAD CDOR

  3.41%   CAD     14,500,000       12/21/2032     Semi-Annually           (54,155     (54,155

3 Month CAD CDOR

  3.57%   CAD     15,400,000       12/21/2032     Semi-Annually           92,086       92,086  

3 Month CAD CDOR

  3.59%   CAD     6,800,000       12/21/2032     Semi-Annually           50,527       50,527  

3 Month CAD CDOR

  3.63%   CAD     11,900,000       12/21/2032     Semi-Annually           118,074       118,074  

3 Month CAD CDOR

  3.71%   CAD     34,544,000       12/21/2032     Semi-Annually     28,182       512,740       484,558  

3 Month CAD CDOR

  3.79%   CAD     23,000,000       12/21/2032     Semi-Annually           455,995       455,995  

3 Month CAD CDOR

  3.84%   CAD     25,200,000       12/21/2032     Semi-Annually           590,221       590,221  

3 Month CAD CDOR

  3.97%   CAD     12,100,000       12/21/2032     Semi-Annually           382,626       382,626  

3 Month CAD CDOR

  4.04%   CAD     18,200,000       12/21/2032     Semi-Annually           651,866       651,866  

CHF - SARON - OIS - COMPOUND

  1.85%   CHF     5,300,000       12/21/2032     Semi-Annually     (24,750     104,982       129,732  

CHF - SARON - OIS - COMPOUND

  1.86%   CHF     66,629,000       12/21/2032     Semi-Annually           1,401,951       1,401,951  

CHF - SARON - OIS - COMPOUND

  1.93%   CHF     13,700,000       12/21/2032     Semi-Annually           380,181       380,181  


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

CHF - SARON - OIS - COMPOUND

  2.05%   CHF     37,719,000       12/21/2032     Semi-Annually     24,073       1,489,587       1,465,514  

CHF - SARON - OIS - COMPOUND

  2.18%   CHF     8,300,000       12/21/2032     Semi-Annually     35,414       430,147       394,733  

CHF - SARON - OIS - COMPOUND

  2.20%   CHF     15,800,000       12/21/2032     Semi-Annually     (13,653     857,807       871,460  

CHF - SARON - OIS - COMPOUND

  2.27%   CHF     10,400,000       12/21/2032     Semi-Annually           639,027       639,027  

2.01%

  CHF - SARON -OIS - COMPOUND   CHF     12,100,000       12/21/2032     Semi-Annually           (424,126     (424,126

2.19%

  CHF - SARON - OIS - COMPOUND   CHF     15,400,000       12/21/2032     Semi-Annually     26,352       (821,959     (848,311

2.24%

  CHF - SARON - OIS - COMPOUND   CHF     9,600,000       12/21/2032     Semi-Annually           (556,719     (556,719

2.18%

  CHF - SARON - OIS - COMPOUND   CHF     7,800,000       12/21/2032     Semi-Annually     (38,147     (409,545     (371,398

2.11%

  CHF - SARON - OIS - COMPOUND   CHF     6,100,000       12/21/2032     Semi-Annually           (274,002     (274,002

1.98%

  CHF - SARON - OIS - COMPOUND   CHF     12,400,000       12/21/2032     Semi-Annually           (400,996     (400,996

1.85%

  CHF - SARON - OIS - COMPOUND   CHF     12,600,000       12/21/2032     Semi-Annually     76,835       (247,714     (324,549

EUR - EuroSTR - COMPOUND

  2.21%   EUR     7,702,000       12/21/2032     Annually     4,674       (144,448     (149,122

EUR - EuroSTR - COMPOUND

  2.48%   EUR     11,100,000       12/21/2032     Annually           71,837       71,837  

EUR - EuroSTR - COMPOUND

  2.89%   EUR     8,600,000       12/21/2032     Annually           377,695       377,695  

EUR - EuroSTR - COMPOUND

  2.94%   EUR     59,097,000       12/21/2032     Annually     20,873       2,858,023       2,837,150  

EUR - EuroSTR - COMPOUND

  3.12%   EUR     9,500,000       12/21/2032     Annually           619,056       619,056  

2.82%

  EUR - EuroSTR - COMPOUND   EUR     8,800,000       12/21/2032     Annually           (329,860     (329,860

2.80%

  EUR - EuroSTR - COMPOUND   EUR     4,250,000       12/21/2032     Annually           (150,455     (150,455

2.80%

  EUR - EuroSTR - COMPOUND   EUR     11,000,000       12/21/2032     Annually           (391,959     (391,959

2.41%

  EUR - EuroSTR - COMPOUND   EUR     13,600,000       12/21/2032     Annually           (2,404     (2,404

2.75%

  EUR - EuroSTR - COMPOUND   EUR     4,550,000       12/21/2032     Annually           (142,121     (142,121

2.69%

  EUR - EuroSTR - COMPOUND   EUR     17,300,000       12/21/2032     Annually           (447,483     (447,483

2.70%

  EUR - EuroSTR - COMPOUND   EUR     4,800,000       12/21/2032     Annually           (126,379     (126,379

2.55%

  EUR - EuroSTR - COMPOUND   EUR     22,500,000       12/21/2032     Annually           (287,254     (287,254

2.63%

  EUR - EuroSTR - COMPOUND   EUR     11,200,000       12/21/2032     Annually           (221,788     (221,788

GBP - SONIA - COMPOUND

  3.30%   GBP     7,600,000       12/21/2032     Annually           (53,473     (53,473

GBP - SONIA - COMPOUND

  3.52%   GBP     8,600,000       12/21/2032     Annually           120,394       120,394  

GBP - SONIA - COMPOUND

  4.12%   GBP     6,400,000       12/21/2032     Annually           473,420       473,420  

GBP - SONIA - COMPOUND

  4.33%   GBP     12,600,000       12/21/2032     Annually           1,200,223       1,200,223  

GBP - SONIA - COMPOUND

  4.65%   GBP     6,700,000       12/21/2032     Annually           849,451       849,451  

3.19%

  GBP - SONIA - COMPOUND   GBP     28,590,000       12/21/2032     Annually     191,161       523,891       332,730  

3.96%

  GBP - SONIA - COMPOUND   GBP     10,250,000       12/21/2032     Annually           (596,632     (596,632

3.93%

  GBP - SONIA - COMPOUND   GBP     4,940,000       12/21/2032     Annually           (275,019     (275,019

3.90%

  GBP - SONIA - COMPOUND   GBP     5,310,000       12/21/2032     Annually           (275,549     (275,549

3.79%

  GBP - SONIA - COMPOUND   GBP     11,500,000       12/21/2032     Annually           (476,097     (476,097

3.76%

  GBP - SONIA - COMPOUND   GBP     4,500,000       12/21/2032     Annually           (171,529     (171,529


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

4.28%

  3 Month NZD Bank Bill Rate   NZD     43,180,000       12/21/2032     Quarterly     (286,719     244,447       531,166  

4.82%

  3 Month NZD Bank Bill Rate   NZD     22,500,000       12/21/2032     Quarterly           (482,253     (482,253

4.75%

  3 Month NZD Bank Bill Rate   NZD     16,400,000       12/21/2032     Quarterly           (291,203     (291,203

3 Month NZD Bank Bill Rate

  4.21%   NZD     21,200,000       12/21/2032     Quarterly           (204,209     (204,209

3 Month NZD Bank Bill Rate

  4.45%   NZD     26,000,000       12/21/2032     Quarterly           72,641       72,641  

3 Month NZD Bank Bill Rate

  4.52%   NZD     21,900,000       12/21/2032     Quarterly           140,051       140,051  

3 Month NZD Bank Bill Rate

  4.76%   NZD     20,020,000       12/21/2032     Quarterly           370,712       370,712  

3 Month NZD Bank Bill Rate

  4.86%   NZD     18,780,000       12/21/2032     Quarterly           443,002       443,002  

3 Month SEK STIBOR

  2.69%   SEK     163,000,000       12/21/2032     Quarterly           (40,579     (40,579

3.28%

  3 Month SEK STIBOR   SEK     119,000,000       12/21/2032     Quarterly           (550,350     (550,350

3.17%

  3 Month SEK STIBOR   SEK     186,000,000       12/21/2032     Quarterly           (692,452     (692,452

3.16%

  3 Month SEK STIBOR   SEK     180,000,000       12/21/2032     Quarterly           (655,220     (655,220

2.91%

  3 Month SEK STIBOR   SEK     268,000,000       12/21/2032     Quarterly           (415,608     (415,608

2.87%

  3 Month SEK STIBOR   SEK     248,990,000       12/21/2032     Quarterly     (33,536     (308,867     (275,331

2.98%

  3 Month SEK STIBOR   SEK     132,000,000       12/21/2032     Quarterly           (286,621     (286,621

3.08%

  3 Month SEK STIBOR   SEK     117,000,000       12/21/2032     Quarterly           (350,863     (350,863

3.10%

  3 Month SEK STIBOR   SEK     199,000,000       12/21/2032     Quarterly           (629,700     (629,700

3 Month SEK STIBOR

  3.19%   SEK     188,000,000       12/21/2032     Quarterly           731,010       731,010  

USD - SOFR - COMPOUND

  3.08%   USD     24,300,000       12/21/2032     Semi-Annually           (581,742     (581,742

USD - SOFR - COMPOUND

  3.13%   USD     5,460,000       12/21/2032     Semi-Annually     (7,332     (111,020     (103,688

USD - SOFR - COMPOUND

  3.22%   USD     10,800,000       12/21/2032     Semi-Annually           (132,637     (132,637

USD - SOFR - COMPOUND

  3.48%   USD     7,600,000       12/21/2032     Semi-Annually           68,259       68,259  

USD - SOFR - COMPOUND

  3.68%   USD     26,900,000       12/21/2032     Semi-Annually           693,985       693,985  

USD - SOFR - COMPOUND

  3.69%   USD     11,300,000       12/21/2032     Semi-Annually           309,060       309,060  

USD - SOFR - COMPOUND

  3.81%   USD     24,700,000       12/21/2032     Semi-Annually           904,484       904,484  

3.13%

  USD - SOFR - COMPOUND   USD     60,274,000       12/21/2032     Semi-Annually     32,100       1,195,743       1,163,643  

3.79%

  USD - SOFR - COMPOUND   USD     7,300,000       12/21/2032     Semi-Annually           (255,989     (255,989

3.70%

  USD - SOFR - COMPOUND   USD     11,100,000       12/21/2032     Semi-Annually           (307,779     (307,779

3.72%

  USD - SOFR - COMPOUND   USD     10,500,000       12/21/2032     Semi-Annually           (313,600     (313,600

3.91%

  USD - SOFR - COMPOUND   USD     8,200,000       12/21/2032     Semi-Annually           (375,587     (375,587

3.44%

  USD - SOFR - COMPOUND   USD     11,000,000       12/21/2032     Semi-Annually           (67,427     (67,427
           

 

 

   

 

 

   

 

 

 
            $ (8,101   $ 3,460,629     $ 3,468,730  
           

 

 

   

 

 

   

 

 

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (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) ($)
 

1 Month Federal Funds Rate plus 0.09%

  Total Return on MSCI World Daily Total Return Net Value Index   GS   USD     9,022,765       05/09/2023     Monthly           667,993       667,993  

Total Return on MSCI World Daily Total Return Net Growth Index

  1 Month Federal Funds Rate minus 0.08%   GS   USD     8,118,756       05/09/2023     Monthly           (643,226     (643,226

Total Return on MSCI World Daily Total Return Net Growth Index

  1 Month Federal Funds Rate minus 0.08%   GS   USD     830,200       05/09/2023     Monthly           (65,774     (65,774

1 Month Federal Funds Rate plus 0.01%

  Total Return on MSCI World Daily Total Return Net Value Index   UBSA   USD     11,018,184       05/12/2023     Monthly           280,376       280,376  

Total Return on MSCI World Daily Total Return Net Growth Index

  1 Month Federal Funds Rate plus 0.02%   UBSA   USD     11,399,784       05/12/2023     Monthly           (96,251     (96,251

1 Month Federal Funds Rate plus 0.05%

  Total Return on MSCI World Daily Total Return Net Value Index   UBSA   USD     10,415,198       05/22/2023     Monthly           138,805       138,805  

Total Return on MSCI World Daily Total Return Net Growth Index

  1 Month Federal Funds Rate plus 0.06%   UBSA   USD     10,675,600       05/22/2023     Monthly           (131,666     (131,666

1 Month Federal Funds Rate plus 0.01%

  Total Return on MSCI World Daily Total Return Net Value Index   UBSA   USD     9,951,842       08/09/2023     Monthly           736,776       736,776  

Total Return on MSCI World Daily Total Return Net Growth Index

  1 Month Federal Funds Rate minus 0.01%   UBSA   USD     7,995,348       08/09/2023     Monthly           (633,449     (633,449

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 0.75%   GS   USD     1       05/24/2024     Monthly           (9,683     (9,683

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 1.00%   MORD   USD     1       05/24/2024     Monthly           (3,188     (3,188

Total Return on Equity Basket (m)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     48,651,548       06/18/2024     Monthly           (1,563,519     (1,563,519

Total Return on Equity Basket (l)

  1 Month Federal Funds Rate minus 0.40%   GS   USD     16,660,463       06/24/2024     Monthly           (167,875     (167,875
             

 

 

   

 

 

   

 

 

 
  $     $ (1,490,681   $ (1,490,681
 

 

 

   

 

 

   

 

 

 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

As of November 30, 2022, 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 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.

 

(b)

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

 

(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)

The security is restricted as to resale.

 

(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)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 

(k)

The rate shown represents yield-to-maturity.

 

(l)

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.

(m)

The following table represents the individual long and/or short positions within the custom equity basket swap as of November 30, 2022:

 

Shares   Description   % of
Equity
Basket
    Value ($)  

(1,508,000)

  Air China Ltd – Class H     2.4     (1,213,765

(3,184,800)

  Airports of Thailand Pcl NVDR     13.5     (6,801,702

(1,602,000)

  Alibaba Health Information Technology Ltd     2.7     (1,352,330

(2,721,000)

  China Molybdenum Co Ltd – Class H     2.5     (1,274,735

(175,720)

  Ganfeng Lithium Co Ltd – Class H     3.1     (1,554,944

(434,000)

  Genscript Biotech Corp     2.2     (1,124,102

(3,421,600)

  Gulf Energy Development Pcl NVDR     10.3     (5,175,138

(6,699)

  Hanmi Pharm Co Ltd     2.7     (1,339,381

(6,000)

  Hapvida Participacoes e Investimentos SA     0.0     (6,012

(64,874)

  Hotel Shilla Co Ltd     7.3     (3,645,657

(38,852)

  Kakao Corp     3.4     (1,704,686

(2,048,000)

  Kingdee International Software Group Co Ltd     6.9     (3,456,041

(234,600)

  Klabin SA     1.8     (890,597

(134,422)

  Korea Aerospace Industries Ltd     9.9     (4,992,077

(900)

  Lojas Renner SA     0.0     (4,015

(327,700)

  Microport Scientific Corp     1.6     (787,498

7,652

  Nokia Oyj     (0.1 %)      37,701  

(6,539)

  POSCO Chemical Co Ltd     2.2     (1,104,490

(8,628)

  Samsung Biologics Co Ltd     11.7     (5,868,231

(767,926)

  Samsung Heavy Industries Co Ltd     6.1     (3,072,278

(37,829)

  Yuhan Corp     3.4     (1,690,936

(2,438,000)

  Zijin Mining Group Co Ltd – Class H     6.4     (3,235,871
     

 

 

 
  TOTAL COMMON STOCKS     $ (50,256,785
     

 

 

 
 


GMO Implementation Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

The rates shown on variable rate notes are the current interest rates at November 30, 2022, 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.

CDOR - Canadian Dollar Offering Rate

CMT - Constant Maturity Treasury

CVA - Certificaaten van aandelen (Share Certificates)

CVR - Contingent Value Right

EuroSTR - Euro Short-Term Rate

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

GDR - Global Depositary Receipt

JSC - Joint-Stock Company

LIBOR - London Interbank Offered Rate

NVDR - Non-Voting Depositary Receipt

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

OIS - Overnight Indexed Swaps

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 SARON - Swiss Average Rate Overnight

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

SONIA - Sterling Overnight Interbank Average Rate USBM - U.S. Treasury 3 Month Bill Money Market Yield

Counterparty Abbreviations:

BBH - Brown Brothers Harriman & Co

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

Currency Abbreviations:

 

AUD - Australian Dollar

BRL - Brazil Real

CAD - Canada Dollar

CHF - Switzerland Franc

CLP - Chile Peso

COP - Colombia Peso

CZK - Czech Republic Koruna

EUR - Euro

GBP - United Kingdom Pound

HUF - Hungary Forint

IDR - Indonesia Rupiah

ILS - Israel Shekel

INR - Indian Rupee

JPY - Japan Yen

KRW - Korean Won

MXN - Mexico Peso

NOK - Norway Krone

NZD - New Zealand Dollar

PEN - Peru Nuevo Sol

PHP - Philippines Peso

PLN - Poland Zloty

RON - Romania New Leu

SEK - Sweden Krona

SGD - Singapore Dollar

THB - Thailand Baht

 

TWD - Taiwan New Dollar

USD - United States Dollar

 
 


GMO International Developed Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          MUTUAL FUNDS — 100.0%      
          Affiliated Issuers — 100.0%      
    1,212,687     GMO Emerging Markets ex-China Fund, Class VI     17,026,129  
    8,643,336     GMO International Equity Fund, Class IV     185,313,109  
    516,010     GMO-Usonian Japan Value Creation Fund, Class VI     8,385,166  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $230,965,475)
    210,724,404  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.0%  
          Money Market Funds — 0.0%      
    88,960     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     88,960  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $88,960)
    88,960  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $231,054,435)
    210,813,364  
    Other Assets and Liabilities (net) — (0.0%)     (24,558
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $210,788,806  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 


GMO International Equity Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Shares     Description   Value ($)  
          MUTUAL FUNDS — 99.9%      
          Affiliated Issuers — 99.9%      
    2,862,878     GMO Emerging Markets ex-China Fund, Class VI     40,194,810  
    6,119,922     GMO Emerging Markets Fund, Class VI     144,858,540  
    13,573,818     GMO International Equity Fund, Class IV     291,022,665  
    1,202,191     GMO-Usonian Japan Value Creation Fund, Class VI     19,535,604  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $573,957,560)
    495,611,619  
     

 

 

 
          SHORT-TERM INVESTMENTS — 0.1%  
          Money Market Funds — 0.1%      
    357,295     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (a)     357,295  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $357,295)
    357,295  
     

 

 

 
    TOTAL INVESTMENTS — 100.0%
(Cost $574,314,855)
    495,968,914  
    Other Assets and Liabilities (net) — (0.0%)     (39,804
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $495,929,110  
     

 

 

 

Notes to Schedule of Investments:

 

(a)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 


GMO SGM Major Markets Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

     Par Value† /
Shares
    Description   Value ($)  
    DEBT OBLIGATIONS — 95.9%

 

          United States — 95.9%  
          U.S. Government — 85.0%  
    15,500,000     U.S. Treasury Floating Rate Notes,  
    Variable Rate, 4.47%, due 10/31/24     15,492,364  
    7,500,000     U.S. Treasury Note, 0.13%, due 12/31/22 (a)     7,476,269  
    35,530,000     U.S. Treasury Note, 0.13%, due 06/30/23     34,587,622  
    20,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 10/31/23 (b)     20,015,029  
    73,300,000     U.S. Treasury Note, Variable Rate, USBM - 0.08%, 4.26%, due 04/30/24 (a) (b)     73,171,368  
    6,000,000     U.S. Treasury Note, Variable Rate, USBM + 0.04%, 4.37%, due 07/31/24 (a) (b)     5,992,352  
     

 

 

 
    Total U.S. Government     156,735,004  
     

 

 

 
          U.S. Government Agency — 10.9%  
    10,000,000     Federal Home Loan Banks, 1.67%, due 12/19/22     9,987,981  
    7,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.03%, 3.84%, due 03/02/23     7,000,323  
    3,000,000     Federal Home Loan Banks, Variable Rate, SOFR + 0.07%, 3.88%, due 12/14/23     3,000,337  
     

 

 

 
    Total U.S. Government Agency     19,988,641  
     

 

 

 
    Total United States     176,723,645  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $177,620,186)
    176,723,645  
     

 

 

 
          SHORT-TERM INVESTMENTS — 2.6%  
          Money Market Funds — 1.6%  
    2,500,716     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (c)     2,500,716  
    431,263     State Street U.S. Treasury Liquidity Fund – Class D Shares, 3.69% (a)     431,263  
     

 

 

 
    Total Money Market Funds     2,931,979  
     

 

 

 
          U.S. Government — 1.0%  
    2,000,000     U.S. Treasury Bill, 4.17%, due 02/16/23 (d)     1,982,348  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $4,914,311)
    4,914,327  
     

 

 

 
    TOTAL INVESTMENTS — 98.5%
(Cost $182,534,497)
    181,637,972  
    Other Assets and Liabilities (net) — 1.5%     2,685,269  
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $184,323,241  
     

 

 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

Forward Currency Contracts

 

Settlement
Date

  Counter-
party
  Currency
Sold
    Currency
Purchased
    Net
Unrealized
Appreciation
(Depreciation)
($)
 
01/23/2023   BCLY   AUD     1,324,444       USD       894,115       (6,841
01/23/2023   DB   AUD     859,775       USD       570,179       (14,685
01/17/2023   DB   CAD     2,778,262       USD       2,068,957       2,003  
01/31/2023   BCLY   CHF     18,155,948       USD       19,336,026       4,416  
01/31/2023   SSB   CHF     647,347       USD       688,214       (1,051
01/31/2023   MSCI   CHF     684,281       USD       723,816       (4,775
01/23/2023   BCLY   GBP     790,450       USD       942,964       (11,416
12/12/2022   MSCI   JPY     80,774,798       USD       557,761       (27,875
12/12/2022   DB   JPY     61,296,852       USD       421,944       (22,472
01/17/2023   DB   JPY     191,818,224       USD       1,368,209       (29,377
01/17/2023   GS   JPY     344,550,556       USD       2,483,088       (27,304
01/24/2023   BCLY   NZD     980,650       USD       603,590       (14,826
01/24/2023   MSCI   NZD     529,630       USD       330,152       (3,842
01/24/2023   DB   NZD     609,610       USD       380,066       (4,365
01/23/2023   UBSA   USD     1,480,137       AUD       2,190,233       9,773  
01/23/2023   DB   USD     22,211       AUD       32,994       233  
01/17/2023   DB   USD     659,692       CAD       884,782       (1,437
01/17/2023   MSCI   USD     876,743       CAD       1,187,228       6,524  
01/31/2023   MSCI   USD     10,155,236       EUR       9,721,883       9,659  
01/31/2023   DB   USD     1,417,874       EUR       1,360,443       4,562  
12/12/2022   MSCI   USD     27,714,465       JPY       3,995,232,629       1,251,916  
12/12/2022   BCLY   USD     1,238,349       JPY       183,601,536       92,805  
12/12/2022   JPM   USD     1,001,041       JPY       147,529,188       68,581  
01/17/2023   BCLY   USD     22,031       JPY       3,181,818       1,152  
01/17/2023   DB   USD     100,988       JPY       14,029,296       1,230  
01/24/2023   MSCI   USD     200,613       NZD       326,757       5,446  
           

 

 

 
            $ 1,288,034  
           

 

 

 

Futures Contracts

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Buys        
248   CAC40 10 Euro   December 2022     17,558,887       413,057  
116   Corn(a)   March 2023     3,868,600       (15,939
4   DAX Index   December 2022     1,518,291       246,905  
244   FTSE 100 Index   December 2022     22,437,768       619,461  
27   Hang Seng Index   December 2022     3,243,784       198,572  
969   Mini MSCI Emerging Markets   December 2022     47,602,125       1,450,104  
303   MSCI Singapore   December 2022     6,660,071       101,128  
19   Silver(a)   March 2023     2,069,195       12,601  
134   Soybean(a)   January 2023     9,845,650       535,522  
5   TOPIX Index   December 2022     729,030       17,342  
     

 

 

   

 

 

 
      $ 115,533,401     $ 3,578,753  
     

 

 

   

 

 

 
 


GMO SGM Major Markets Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

Futures Contracts — continued

 

Number
of
Contracts +

 

Type

  Expiration
Date
  Notional
Amount
($)
    Value/Net
Unrealized
Appreciation
(Depreciation)
($)
 
Sales        
21   Australian Government Bond 10 Yr.   December 2022     1,719,851       (9,394
115   Canadian Government Bond 10 Yr.   March 2023     10,749,805       (38,479
98   E-mini Russell 2000 Index   December 2022     9,248,750       (264,883
20   Euro Bund   December 2022     2,931,995       (11,535
8   Euro Bund   March 2023     1,167,387       (369
106   FTSE Taiwan Index   December 2022     5,575,573       (107,278
30   Gold 100 OZ(a)   February 2023     5,279,700       5,473  
225   S&P 500 E-Mini   December 2022     45,914,062       (440,873
39   S&P/TSX 60   December 2022     7,192,016       (410,382
23   SPI 200 Futures   December 2022     2,874,677       (81,796
201   U.S. Treasury Note 10 Yr. (CBT)   March 2023     22,813,500       (126,438
7   UK Gilt Long Bond   March 2023     885,775       4,876  
12   WTI Crude(a)   December 2022     966,600       88,684  
     

 

 

   

 

 

 
      $ 117,319,691     $ (1,392,394
     

 

 

   

 

 

 

 

+

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) ($)
 

1 Month Federal Funds Rate plus 0.09%

  Total Return on MSCI World Daily Total Return Net Value Index   GS   USD     7,638,084       05/09/2023     Monthly           565,479       565,479  

Total Return on MSCI World Daily Total Return Net Growth Index

  1 Month Federal Funds Rate minus 0.08%   GS   USD     6,865,977       05/09/2023     Monthly           (543,972     (543,972

Total Return on MSCI World Daily Total Return Net Growth Index

  1 Month Federal Funds Rate minus 0.08%   GS   USD     703,052       05/09/2023     Monthly           (55,701     (55,701

1 Month Federal Funds Rate plus 0.01%

  Total Return on MSCI World Daily Total Return Net Value Index   UBSA   USD     9,323,122       05/12/2023     Monthly           237,242       237,242  

Total Return on MSCI World Daily Total Return Net Growth Index

  1 Month Federal Funds Rate plus 0.02%   UBSA   USD     9,645,891       05/12/2023     Monthly           (81,443     (81,443

1 Month Federal Funds Rate plus 0.05%

  Total Return on MSCI World Daily Total Return Net Value Index   UBSA   USD     7,138,109       05/22/2023     Monthly           95,131       95,131  

Total Return on MSCI World Daily Total Return Net Growth Index

  1 Month Federal Funds Rate plus 0.06%   UBSA   USD     7,097,452       05/22/2023     Monthly           (87,535     (87,535
             

 

 

   

 

 

   

 

 

 
              $     $ 129,201     $ 129,201  
             

 

 

   

 

 

   

 

 

 


GMO SGM Major Markets Fund

(A Series of GMO Trust)

Consolidated Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

As of November 30, 2022, 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)

GMO Alternative Asset SPC Ltd. is a 100% owned subsidiary of GMO SGM Major Markets Fund. As such, the holdings of GMO Alternative Asset SPC Ltd. have been included with GMO SGM Major Markets Fund.

 

(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.

 

(c)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 

(d)

The rate shown represents yield-to-maturity.

The rates shown on variable rate notes are the current interest rates at November 30, 2022, which are subject to change based on the terms of the security.

 

 

Portfolio Abbreviations:

SOFR - Secured Overnight Financing Rate

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

Counterparty Abbreviations:

BCLY - Barclays Bank PLC

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

UBSA - UBS AG

Currency Abbreviations:

 

AUD - Australian Dollar

CAD - Canada Dollar

CHF - Switzerland Franc

EUR - Euro

GBP - United Kingdom Pound

JPY - Japan Yen

NZD - New Zealand Dollar

USD - United States Dollar

 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
    COMMON STOCKS — 38.4%  
          Australia — 1.1%      
    28,066     Aurizon Holdings Ltd (a)     72,946  
    3,376     Austal Ltd     5,623  
    81,259     Beach Energy Ltd     97,962  
    22,410     BlueScope Steel Ltd     270,106  
    26,364     Brambles Ltd (a)     218,079  
    736     Brickworks Ltd     11,299  
    1,532     Challenger Ltd     7,664  
    27,531     Fortescue Metals Group Ltd (a)     366,428  
    44,850     GPT Group (The) (REIT) (a)     138,270  
    16,654     GrainCorp Ltd – Class A (a)     92,080  
    13,508     Grange Resources Ltd     7,057  
    22,136     Helia Group Ltd     40,917  
    9,515     Incitec Pivot Ltd     26,056  
    5,717     JB Hi-Fi Ltd (a)     175,823  
    3,518     McMillan Shakespeare Ltd     35,407  
    38,140     Metcash Ltd (a)     109,066  
    98,347     Mirvac Group (REIT) (a)     150,915  
    1,003     Monadelphous Group Ltd     9,429  
    4,042     NRW Holdings Ltd     7,576  
    13,540     Nufarm Ltd     56,029  
    396     Premier Investments Ltd (a)     6,921  
    453     Rio Tinto Ltd (a)     33,818  
    44,089     Scentre Group (REIT) (a)     89,928  
    3,874     Sims Ltd     34,612  
    42,562     Stockland (REIT) (a)     111,124  
    1,727     Super Retail Group Ltd (a)     13,081  
    21,622     Viva Energy Group Ltd     40,629  
     

 

 

 
    Total Australia     2,228,845  
     

 

 

 
          Belgium — 0.4%      
    305     Ackermans & van Haaren NV     48,478  
    6,664     Ageas SA/NV     269,838  
    1,493     Bekaert SA     53,313  
    1,517     Proximus SADP (a)     15,869  
    569     Sofina SA     123,856  
    430     Solvay SA (a)     42,654  
    560     Telenet Group Holding NV     8,940  
    2,802     UCB SA (a)     226,168  
     

 

 

 
    Total Belgium     789,116  
     

 

 

 
          Brazil — 0.1%      
    7,200     Banco do Brasil SA     48,949  
    7,000     Petroleo Brasileiro SA Sponsored ADR (a)     81,830  
    8,200     Telefonica Brasil SA ADR (a)     59,942  
    1,107     Vale SA     18,284  
     

 

 

 
    Total Brazil     209,005  
     

 

 

 
          Canada — 1.7%      
    2,200     Alimentation Couche-Tard Inc (a)     100,224  
    3,000     Birchcliff Energy Ltd     23,953  
    
Shares
    Description   Value ($)  
          Canada — continued      
    7,200     BlackBerry Ltd * (a)     35,064  
    4,670     Brookfield Asset Management Inc – Class A (a)     220,190  
    2,333     Canadian Apartment Properties (REIT) (a)     75,792  
    1,700     Canadian Tire Corp Ltd – Class A (a)     192,527  
    3,900     Canfor Corp *     69,090  
    8,358     Celestica Inc *     93,264  
    700     Cogeco Inc     31,223  
    300     DREAM UnLtd Corp – Class A     6,445  
    3,200     Finning International Inc (a)     81,050  
    400     iA Financial Corp Inc     22,567  
    5,200     Interfor Corp *     97,417  
    3,800     Magna International Inc     233,992  
    9,200     Manulife Financial Corp (a) (b)     165,718  
    7,400     Manulife Financial Corp (a) (b)     133,422  
    3,300     Mullen Group Ltd (a)     37,559  
    2,918     Nutrien Ltd (a)     234,607  
    2,300     Onex Corp     121,211  
    2,000     Power Corp of Canada (a)     50,314  
    700     PrairieSky Royalty Ltd     11,480  
    7,300     Quebecor Inc – Class B (a)     157,326  
    2,600     Russel Metals Inc     55,957  
    1,900     Sleep Country Canada Holdings Inc     32,628  
    12,600     Teck Resources Ltd – Class B * (a) (b)     467,038  
    3,000     Teck Resources Ltd – Class B (b)     111,270  
    1,800     Uni-Select Inc * (a)     60,926  
    3,200     West Fraser Timber Co Ltd (b)     250,310  
    400     West Fraser Timber Co Ltd (b)     31,348  
     

 

 

 
    Total Canada     3,203,912  
     

 

 

 
          China — 0.6%      
    17,693     Alibaba Group Holding Ltd *     192,556  
    110,000     Bank of Communications Co Ltd – Class H     62,326  
    15,000     Beijing Enterprises Holdings Ltd     47,706  
    12,500     China Conch Venture Holdings Ltd     28,606  
    33,000     China Overseas Land & Investment Ltd     90,173  
    152,000     China Railway Group Ltd – Class H     85,796  
    286,000     China Zhongwang Holdings Ltd * (c)     61,514  
    110,000     CITIC Ltd     112,769  
    60,000     Dongfeng Motor Group Co Ltd – Class H     33,801  
    17,500     Kingboard Holdings Ltd     57,933  
    9,900     Shanghai Pharmaceuticals Holding Co Ltd – Class H     16,508  
    154,000     Shimao Group Holdings Ltd * (c)     87,144  
    15,600     Sinopharm Group Co Ltd – Class H     37,010  
    271,000     Sunac China Holdings Ltd * (c)     158,903  
    2,099     Tencent Holdings Ltd     79,376  
    3,600     Vipshop Holdings Ltd ADR * (a)     40,140  
     

 

 

 
    Total China     1,192,261  
     

 

 

 
          Denmark — 0.4%      
    45     AP Moller – Maersk A/S – Class A (a)     95,538  
    49     AP Moller – Maersk A/S – Class B (a)     106,230  
    17,132     Danske Bank A/S     308,515  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Denmark — continued      
    1,185     GN Store Nord A/S (a)     28,629  
    3,304     Pandora A/S     251,536  
    54     Rockwool A/S – B Shares (a)     11,857  
    2,623     Scandinavian Tobacco Group A/S     46,593  
     

 

 

 
    Total Denmark     848,898  
     

 

 

 
          Finland — 0.4%      
    5,138     Metsa Board Oyj – Class B     45,715  
    3,575     Neste Oyj (a)     184,529  
    50,896     Nokia Oyj (a)     250,760  
    22,116     Outokumpu Oyj     111,559  
    11,386     Stora Enso Oyj – R Shares (a)     167,501  
    2,689     UPM-Kymmene Oyj (a)     98,717  
     

 

 

 
    Total Finland     858,781  
     

 

 

 
          France — 1.6%      
    3,743     ALD SA (a)     37,670  
    569     APERAM SA     18,063  
    8,555     ArcelorMittal SA     234,570  
    2,669     Arkema SA     237,305  
    3,837     BNP Paribas SA (a)     215,609  
    7,301     Coface SA     89,375  
    7,253     Derichebourg SA     39,237  
    96     Eiffage SA (a)     9,452  
    2,637     Ipsen SA (a)     294,778  
    1,905     IPSOS     108,979  
    272     Kering SA (a)     163,428  
    368     LVMH Moet Hennessy Louis Vuitton SE (a)     285,578  
    2,986     Metropole Television SA     42,934  
    8,614     Publicis Groupe SA (a)     566,943  
    1,985     Quadient SA     30,286  
    2,438     Safran SA (a)     301,302  
    1,684     SES SA, ADR – Class A     11,546  
    989     Societe BIC SA     65,336  
    9,024     Societe Generale SA     227,125  
    1,203     Technip Energies NV     19,053  
    8,502     Television Francaise 1     64,261  
     

 

 

 
    Total France     3,062,830  
     

 

 

 
          Germany — 0.6%      
    502     1&1 AG     7,215  
    637     Aurubis AG     51,140  
    1,847     Bayerische Motoren Werke AG (a)     167,705  
    1,625     Beiersdorf AG (a)     176,724  
    2,913     Commerzbank AG *     24,400  
    1,015     Deutsche Pfandbriefbank AG     8,062  
    182     Draegerwerk AG & Co KGaA (a)     7,309  
    2,702     Fresenius SE & Co KGaA (a)     75,285  
    2,970     HeidelbergCement AG (a)     162,841  
    368     Hornbach Holding AG & Co KGaA     29,190  
    9,298     Kloeckner & Co SE     88,240  
    3,422     Mercedes-Benz Group AG (a)     232,502  
    
Shares
    Description   Value ($)  
          Germany — continued      
    1,988     ProSiebenSat.1 Media SE     18,064  
    613     Salzgitter AG     17,977  
    468     Siltronic AG (a)     38,839  
     

 

 

 
    Total Germany     1,105,493  
     

 

 

 
          Hong Kong — 0.6%      
    15,300     ASMPT Ltd (a)     113,901  
    13,200     Bank of East Asia Ltd (The)     15,224  
    7,000     Chow Sang Sang Holdings International Ltd     8,131  
    80,000     CITIC Telecom International Holdings Ltd     26,403  
    4,800     Dah Sing Financial Holdings Ltd     10,722  
    114,000     First Pacific Co Ltd     35,776  
    21,248     Galaxy Entertainment Group Ltd     129,176  
    2,500     HK Electric Investments & HK Electric Investments Ltd – Class SS (a)     1,848  
    70,000     HKT Trust & HKT Ltd – Class SS (a)     85,353  
    26,000     Johnson Electric Holdings Ltd     32,603  
    23,000     K Wah International Holdings Ltd (a)     7,240  
    20,000     Kerry Properties Ltd (a)     38,234  
    9,000     NWS Holdings Ltd (a)     7,421  
    57,000     Pacific Textiles Holdings Ltd     18,780  
    84,000     PCCW Ltd (a)     36,731  
    26,000     Power Assets Holdings Ltd (a)     134,124  
    60,000     Shun Tak Holdings Ltd *     9,673  
    10,000     Sino Land Co Ltd (a)     12,507  
    37,000     SITC International Holdings Co Ltd     82,079  
    17,000     Sun Hung Kai & Co Ltd     6,204  
    10,000     Swire Pacific Ltd – Class A (a)     78,594  
    44,000     VSTECS Holdings Ltd     23,883  
    8,000     VTech Holdings Ltd     51,021  
    289,500     WH Group Ltd (a)     169,623  
    19,500     Yue Yuen Industrial Holdings Ltd     24,594  
     

 

 

 
    Total Hong Kong     1,159,845  
     

 

 

 
          India — 0.4%      
    47,590     GAIL India Ltd     55,759  
    5,777     Hindalco Industries Ltd     32,348  
    17,130     Hindustan Petroleum Corp Ltd     50,618  
    25,377     Indian Oil Corp Ltd     24,076  
    55,721     NTPC Ltd     118,132  
    148,376     Oil & Natural Gas Corp Ltd     259,702  
    163,782     Tata Steel Ltd     219,027  
     

 

 

 
    Total India     759,662  
     

 

 

 
          Ireland — 0.5%      
    47,597     Bank of Ireland Group Plc     394,676  
    3,918     Glanbia Plc     47,252  
    5,635     Origin Enterprises Plc     23,015  
    12,511     Ryanair Holdings Plc *     168,883  
    412     Ryanair Holdings Plc Sponsored ADR * (a)     31,184  
    7,081     Smurfit Kappa Group Plc     257,242  
     

 

 

 
    Total Ireland     922,252  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Israel — 0.2%      
    2,845     Bank Leumi Le-Israel BM     26,080  
    6,888     Isracard Ltd     23,066  
    26,900     Teva Pharmaceutical Industries Ltd Sponsored ADR *     235,913  
    8,800     ZIM Integrated Shipping Services Ltd     184,976  
     

 

 

 
    Total Israel     470,035  
     

 

 

 
          Italy — 0.6%      
    1,136     ACEA SPA (a)     15,616  
    2,745     Ascopiave SPA (a)     7,133  
    2,511     Banca IFIS SPA     34,605  
    3,249     Credito Emiliano SPA     23,025  
    19,791     Italgas SPA (a)     116,471  
    36,976     Leonardo SPA     296,668  
    47,201     MFE-MediaForEurope NV – Class A     19,860  
    15,277     Stellantis NV (a)     241,002  
    649,026     Telecom Italia SPA * (a)     141,599  
    37,435     Unipol Gruppo SPA     191,492  
     

 

 

 
    Total Italy     1,087,471  
     

 

 

 
          Japan — 10.0%      
    800     ADEKA Corp     13,261  
    18,600     Aeon Mall Co Ltd (a)     224,630  
    3,021     AGC Inc (a)     102,022  
    2,700     Aisin Corp     74,411  
    9,400     Amano Corp     170,640  
    400     Arata Corp     11,759  
    1,400     Arclands Corp     15,293  
    7,600     Arcs Co Ltd     116,221  
    32,300     Asahi Kasei Corp (a)     240,064  
    9,800     Brother Industries Ltd     159,164  
    1,900     Canon Marketing Japan Inc     43,228  
    300     Central Glass Co Ltd     7,641  
    17,400     Chugoku Marine Paints Ltd     131,332  
    14,200     Citizen Watch Co Ltd     62,356  
    11,500     Credit Saison Co Ltd     147,440  
    8,000     Dai Nippon Printing Co Ltd (a)     165,693  
    200     Dai Nippon Toryo Co Ltd     1,119  
    300     Daiichi Jitsugyo Co Ltd     9,254  
    300     Daishi Hokuetsu Financial Group Inc     5,740  
    3,500     Daiwa House Industry Co Ltd (a)     80,602  
    24,600     Daiwabo Holdings Co Ltd     392,477  
    9,700     Denka Co Ltd     234,859  
    3,400     Dentsu Group Inc (a)     110,101  
    400     Eizo Corp     10,518  
    700     ESPEC Corp     10,581  
    500     Exedy Corp     6,082  
    16,800     EXEO Group Inc     260,772  
    7,700     Ezaki Glico Co Ltd     200,920  
    12,700     Fuji Corp     193,768  
    3,700     Fuji Electric Co Ltd (a)     153,310  
    3,200     FUJIFILM Holdings Corp (a)     172,135  
    2,100     Fukuoka Financial Group Inc     41,145  
    
Shares
    Description   Value ($)  
          Japan — continued      
    9,800     H.U. Group Holdings Inc (a)     198,765  
    1,700     Hanwa Co Ltd     44,622  
    28,800     Haseko Corp     318,455  
    500     Hazama Ando Corp     3,190  
    8,600     Hogy Medical Co Ltd (a)     218,846  
    17,500     Honda Motor Co Ltd (a)     426,503  
    900     Hosiden Corp     10,723  
    4,400     Idemitsu Kosan Co Ltd     103,328  
    1,800     Inabata & Co Ltd     31,169  
    52,800     Inpex Corp (a)     581,836  
    7,300     ITOCHU Corp (a)     229,272  
    2,100     Itochu Enex Co Ltd     15,589  
    5,300     Itoham Yonekyu Holdings Inc     26,420  
    1,500     Jaccs Co Ltd     42,827  
    1,100     Japan Aviation Electronics Industry Ltd     18,995  
    1,500     Juroku Financial Group Inc     28,890  
    24,300     JVCKenwood Corp     65,880  
    400     Kaga Electronics Co Ltd     12,905  
    14,100     Kajima Corp (a)     159,547  
    3,600     Kandenko Co Ltd     22,797  
    800     Kaneka Corp     20,557  
    17,000     Kanematsu Corp     189,835  
    500     Kanematsu Electronics Ltd (a)     16,657  
    2,600     KDDI Corp (a)     77,336  
    3,300     Kinden Corp     35,452  
    17,000     Kirin Holdings Co Ltd (a)     268,355  
    300     Kissei Pharmaceutical Co Ltd     5,558  
    800     Kohnan Shoji Co Ltd     19,313  
    2,300     Kokuyo Co Ltd     30,407  
    2,700     Komeri Co Ltd     50,972  
    10,000     Konoike Transport Co Ltd (a)     115,815  
    17,300     K’s Holdings Corp (a)     143,644  
    9,700     Kyudenko Corp     233,375  
    1,700     Macnica Holdings Inc     43,087  
    14,700     Macromill Inc     119,889  
    16,300     Mandom Corp     171,880  
    11,500     Maruichi Steel Tube Ltd     239,194  
    400     Maruzen Showa Unyu Co Ltd     9,418  
    15,700     Maxell Ltd     162,258  
    2,700     Mazda Motor Corp     21,466  
    22,900     Mebuki Financial Group Inc     52,060  
    5,700     Mirarth Holdings Inc     16,207  
    7,400     Mitsubishi Corp (a)     249,226  
    1,500     Mitsubishi Electric Corp (a)     15,033  
    17,300     Mitsubishi Motors Corp *     80,712  
    400     Mitsubishi Shokuhin Co Ltd (a)     9,470  
    400     Mitsuboshi Belting Ltd     10,028  
    900     Mitsui DM Sugar Holdings Co Ltd     12,803  
    8,700     Mitsui OSK Lines Ltd (a)     215,485  
    500     Mitsui-Soko Holdings Co Ltd (a)     12,942  
    6,800     Morinaga & Co Ltd     183,197  
    6,100     MS&AD Insurance Group Holdings Inc (a)     181,056  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Japan — continued      
    7,300     NEC Corp (a)     259,884  
    11,600     NGK Spark Plug Co Ltd     227,284  
    9,500     NH Foods Ltd     255,779  
    800     Nichias Corp     14,198  
    800     Nichiha Corp     16,601  
    23,800     Nikon Corp     232,710  
    1,100     Nippon Soda Co Ltd     34,378  
    200     Nippon Steel Trading Corp     7,454  
    7,800     Nippon Suisan Kaisha Ltd     29,728  
    7,300     Nippon Telegraph & Telephone Corp (a)     202,422  
    8,500     Nippon Television Holdings Inc     65,718  
    10,400     Nippon Yusen KK (a)     231,498  
    800     Nissin Electric Co Ltd     7,877  
    400     Nitto Kogyo Corp     6,808  
    3,800     Nojima Corp     38,777  
    27,700     Obayashi Corp     207,087  
    2,700     Okamura Corp     28,002  
    1,700     ORIX Corp (a)     27,544  
    400     Osaka Soda Co Ltd     12,096  
    17,200     Pacific Industrial Co Ltd     136,314  
    500     PAL GROUP Holdings Co Ltd     8,841  
    38,600     Penta-Ocean Construction Co Ltd     182,673  
    1,400     Proto Corp     12,910  
    500     Raito Kogyo Co Ltd     7,536  
    1,200     Raiznext Corp     11,007  
    2,600     Renesas Electronics Corp * (a)     25,500  
    2,700     Rohm Co Ltd (a)     216,732  
    2,600     San-A Co Ltd (a)     82,510  
    1,000     San-Ai Oil Co Ltd     9,454  
    3,100     Sanki Engineering Co Ltd     36,103  
    8,400     Sankyu Inc (a)     303,994  
    800     Sanwa Holdings Corp     7,581  
    4,900     Sawai Group Holdings Co Ltd     151,725  
    4,100     Secom Co Ltd (a)     253,483  
    900     Sega Sammy Holdings Inc     12,002  
    14,000     Seiko Epson Corp     220,309  
    13,100     Sekisui House Ltd (a)     245,280  
    400     Sekisui Jushi Corp     5,290  
    2,300     Shimamura Co Ltd (a)     208,813  
    28,800     Shimizu Corp     155,276  
    1,100     Shizuoka Gas Co Ltd (a)     8,860  
    1,100     Sinko Industries Ltd     12,439  
    2,100     SKY Perfect JSAT Holdings Inc     7,794  
    15,740     Sojitz Corp     280,501  
    19,300     Stanley Electric Co Ltd     396,839  
    500     Star Micronics Co Ltd     6,430  
    7,600     Subaru Corp     130,172  
    16,100     SUMCO Corp (a)     240,880  
    69,800     Sumitomo Chemical Co Ltd     254,479  
    15,400     Sumitomo Corp (a)     252,472  
    5,700     Sumitomo Forestry Co Ltd     99,523  
    9,700     Sumitomo Mitsui Financial Group Inc (a)     329,225  
    
Shares
    Description   Value ($)  
          Japan — continued      
    8,900     Sumitomo Mitsui Trust Holdings Inc     285,429  
    400     Sumitomo Seika Chemicals Co Ltd     12,368  
    1,100     Sumitomo Warehouse Co Ltd (The) (a)     16,109  
    1,000     Suntory Beverage & Food Ltd (a)     34,078  
    28,300     T&D Holdings Inc     344,052  
    11,700     Tachi-S Co Ltd     93,872  
    6,100     Taisei Corp     185,435  
    2,500     Takara Holdings Inc     19,551  
    400     Takeuchi Manufacturing Co Ltd     9,310  
    16,100     Takuma Co Ltd     150,469  
    1,300     Tamron Co Ltd     33,019  
    22,800     Teijin Ltd     221,229  
    11,700     THK Co Ltd     230,787  
    10,200     Toho Holdings Co Ltd (a)     158,747  
    28,900     Tokai Carbon Co Ltd     222,995  
    14,900     Tokyo Gas Co Ltd (a)     274,085  
    7,200     Tokyo Seimitsu Co Ltd (a)     230,726  
    5,000     Tokyu Construction Co Ltd     23,937  
    15,400     Toppan Inc (a)     239,872  
    15,100     Tosei Corp (a)     154,845  
    10,700     Tosoh Corp     127,041  
    900     Totetsu Kogyo Co Ltd     16,735  
    500     Towa Pharmaceutical Co Ltd     7,703  
    3,300     Toyo Construction Co Ltd     20,087  
    700     Toyota Boshoku Corp     9,833  
    5,300     Toyota Industries Corp (a)     304,046  
    5,000     Tsumura & Co     109,571  
    1,700     TV Asahi Holdings Corp     17,041  
    2,000     YAMABIKO Corp     16,595  
    22,500     Yamada Holdings Co Ltd (a)     77,982  
    2,700     Yamaha Motor Co Ltd     67,634  
    2,000     Yamazen Corp     14,635  
    2,200     Yellow Hat Ltd     27,711  
    7,200     Yokogawa Bridge Holdings Corp     101,620  
    600     Yuasa Trading Co Ltd     15,743  
    5,500     Zenkoku Hosho Co Ltd     204,787  
     

 

 

 
    Total Japan     19,440,255  
     

 

 

 
          Mexico — 0.3%      
    36,102     Fomento Economico Mexicano SAB de CV     288,120  
    49,405     Grupo Mexico SAB de CV – Series B     201,010  
     

 

 

 
    Total Mexico     489,130  
     

 

 

 
          Netherlands — 1.4%      
    2,352     ABN AMRO Bank NV CVA GDR     30,331  
    52,055     Aegon NV (a)     255,198  
    200     AerCap Holdings NV *     12,280  
    6,818     ASR Nederland NV     312,051  
    7,939     EXOR NV * (a)     623,211  
    7,104     JDE Peet’s NV (a)     220,062  
    7,095     Koninklijke Ahold Delhaize NV (a)     206,763  
    14,692     Koninklijke Philips NV (a)     220,154  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Netherlands — continued      
    6,366     NN Group NV (a)     272,060  
    3,427     Prosus NV *     224,259  
    4,713     Randstad NV (a)     272,993  
    220     Signify NV (a)     7,514  
     

 

 

 
    Total Netherlands     2,656,876  
     

 

 

 
          New Zealand — 0.1%      
    7,740     Auckland International Airport Ltd * (a)     39,446  
    25,648     Meridian Energy Ltd (a)     79,606  
    8,374     Spark New Zealand Ltd (a)     27,300  
     

 

 

 
    Total New Zealand     146,352  
     

 

 

 
          Norway — 0.2%      
    35,651     DNO ASA     45,563  
    15,845     Elkem ASA *     58,676  
    12,647     Europris ASA     80,376  
    2,875     SpareBank 1 Nord Norge     26,797  
    2,228     SpareBank 1 SMN     26,547  
    901     SpareBank 1 SR-Bank ASA     10,915  
    434     Stolt-Nielsen Ltd (a)     11,240  
    7,121     Wallenius Wilhelmsen ASA (a)     66,709  
     

 

 

 
    Total Norway     326,823  
     

 

 

 
          Poland — 0.0%      
    666     Polski Koncern Naftowy ORLEN SA     9,803  
     

 

 

 
          Portugal — 0.4%      
    6,375     Altri SGPS SA     37,345  
    10,741     CTT-Correios de Portugal SA     35,991  
    24,809     EDP – Energias de Portugal SA     117,720  
    28,724     Galp Energia SGPS SA     353,928  
    14,937     Navigator Co SA (The) *     60,675  
    16,961     NOS SGPS SA     68,134  
    7,365     REN – Redes Energeticas Nacionais SGPS SA     19,504  
    98,476     Sonae SGPS SA     100,038  
     

 

 

 
    Total Portugal     793,335  
     

 

 

 
          Russia — 0.0%      
    2,505     LUKOIL PJSC (d)     13,212  
    5,410     Novatek PJSC (d)     6,401  
     

 

 

 
    Total Russia     19,613  
     

 

 

 
          Singapore — 0.6%      
    17,200     City Developments Ltd     105,670  
    46,900     ComfortDelGro Corp Ltd     42,665  
    222,800     Golden Agri-Resources Ltd     47,563  
    27,900     Japfa Ltd     10,524  
    8,400     Jardine Cycle & Carriage Ltd     187,352  
    33,900     Keppel Corp Ltd     189,214  
    26,800     StarHub Ltd     21,181  
    8,100     UOL Group Ltd     39,945  
    
Shares
    Description   Value ($)  
          Singapore — continued      
    238,600     Yangzijiang Financial Holding Ltd *     61,040  
    378,400     Yangzijiang Shipbuilding Holdings Ltd     400,752  
    35,100     Yanlord Land Group Ltd     25,499  
     

 

 

 
    Total Singapore     1,131,405  
     

 

 

 
          South Africa — 0.1%      
    11,775     Bidvest Group Ltd (The)     158,354  
     

 

 

 
          South Korea — 0.3%      
    3,662     Kia Corp     192,855  
    1,223     LG Corp     78,872  
    358     LG Electronics Inc     27,015  
    137     POSCO Holdings Inc     31,359  
    2,700     POSCO Holdings Inc Sponsored ADR (a)     154,062  
    47     Samsung Electronics Co Ltd GDR (Registered) (a)     55,829  
    2,735     SK Square Co Ltd *     79,240  
     

 

 

 
    Total South Korea     619,232  
     

 

 

 
          Spain — 1.1%      
    30,150     Acerinox SA     298,275  
    3,465     Amadeus IT Group SA * (a)     187,344  
    5,374     Atresmedia Corp de Medios de Comunicacion SA     18,893  
    46,898     Banco Bilbao Vizcaya Argentaria SA     276,372  
    260,361     Banco de Sabadell SA     243,104  
    85,453     Banco Santander SA     254,978  
    4,325     Cia de Distribucion Integral Logista Holdings SA (a)     102,010  
    3,977     Ence Energia y Celulosa SA     13,176  
    3,874     Faes Farma SA     14,891  
    721     Grupo Catalana Occidente SA     22,806  
    6,826     Industria de Diseno Textil SA (a)     178,184  
    27,916     Repsol SA * (a)     431,032  
    13,518     Telefonica SA (a)     50,458  
     

 

 

 
    Total Spain     2,091,523  
     

 

 

 
          Sweden — 0.5%      
    13,005     Fastighets AB Balder – B Shares * (a)     58,464  
    2,695     Industrivarden AB – A Shares (a)     69,553  
    4,611     Industrivarden AB – C Shares (a)     118,118  
    4,424     Investor AB – A Shares (a)     85,183  
    4,363     Investor AB – B Shares (a)     81,199  
    5,114     Inwido AB     51,496  
    7,068     Kinnevik AB – Class B *     108,952  
    1,919     New Wave Group AB – B Shares     38,885  
    5,381     Skanska AB – B Shares (a)     87,599  
    37,851     SSAB AB – A Shares     219,186  
    3,710     SSAB AB – B Shares     20,975  
    2,725     Svenska Cellulosa AB SCA – Class B     37,051  
    3,818     Telefonaktiebolaget LM Ericsson – B Shares     24,098  
     

 

 

 
    Total Sweden     1,000,759  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Switzerland — 0.4%      
    6,670     Adecco Group AG (Registered) (a)     226,757  
    500     Logitech International SA     30,270  
    3,677     Logitech International SA (Registered)     222,927  
    689     Roche Holding AG – Genusschein (a)     225,044  
    27     Schindler Holding AG (Registered) (a)     4,862  
    158     u-blox Holding AG *     20,570  
    182     Zehnder Group AG – Class RG     10,820  
     

 

 

 
    Total Switzerland     741,250  
     

 

 

 
          Taiwan — 0.0%      
    38,900     Ruentex Development Co Ltd     58,721  
     

 

 

 
          Thailand — 0.1%      
    14,200     Kasikornbank Pcl NVDR     58,513  
    200,000     Krung Thai Bank Pcl NVDR     100,367  
     

 

 

 
    Total Thailand     158,880  
     

 

 

 
          Turkey — 0.0%      
    32,988     Akbank TAS     30,857  
    21,455     Haci Omer Sabanci Holding AS     48,798  
     

 

 

 
    Total Turkey     79,655  
     

 

 

 
          United Kingdom — 2.5%      
    14,950     3i Group Plc (a)     245,635  
    40,420     Airtel Africa Plc     60,455  
    17,644     Balfour Beatty Plc     69,083  
    923     Bank of Georgia Group Plc     28,155  
    53,965     Barratt Developments Plc     260,963  
    6,210     Bellway Plc     150,898  
    7,761     Berkeley Group Holdings Plc     359,906  
    129,122     BT Group Plc (a)     190,004  
    4,600     Bunzl Plc (a)     170,122  
    66,297     Centrica Plc (a)     76,535  
    200     Clarkson Plc (a)     7,465  
    20,278     Coca-Cola HBC AG *     496,018  
    15,721     Compass Group Plc (a)     358,406  
    9,585     Crest Nicholson Holdings Plc     26,531  
    34,999     Ferrexpo Plc     60,962  
    13,618     Halfords Group Plc     32,059  
    11,553     IG Group Holdings Plc     114,924  
    5,820     Indivior Plc *     120,708  
    17,036     Investec Plc     107,595  
    62,403     Kingfisher Plc (a)     182,491  
    149,488     M&G Plc     349,305  
    2,718     Morgan Sindall Group Plc     53,728  
    18,562     OSB Group Plc     106,859  
    2,818     Paragon Banking Group Plc     16,116  
    6,089     Persimmon Plc     94,312  
    11,397     Plus500 Ltd     261,624  
    41,577     Premier Foods Plc     51,810  
    9,276     Redde Northgate Plc (a)     42,464  
    
Shares
    Description   Value ($)  
          United Kingdom — continued      
    14,847     Redrow Plc     81,809  
    16,236     S4 Capital Plc *     37,487  
    12,021     Serica Energy Plc     45,931  
    7,807     Shell Plc (a)     228,478  
    72,474     Taylor Wimpey Plc     91,348  
    282     TBC Bank Group Plc     7,477  
    12,500     Vodafone Group Plc Sponsored ADR (a)     140,375  
    19,552     WPP Plc (a)     205,485  
     

 

 

 
    Total United Kingdom     4,933,523  
     

 

 

 
          United States — 11.2%      
    500     3M Co. (a)     62,985  
    1,183     ADTRAN Holdings, Inc.     23,979  
    1,700     Aflac, Inc. (a)     122,281  
    7,000     Ally Financial, Inc. (a)     189,070  
    1,717     Alphabet, Inc. – Class A * (a)     173,400  
    1,533     American Express Co. (a)     241,586  
    4,300     AppLovin Corp. – Class A * (a)     61,963  
    2,100     Arrow Electronics, Inc. *     228,354  
    8,200     AT&T, Inc. (a)     158,096  
    2,900     Best Buy Co., Inc. (a)     247,370  
    700     Biogen, Inc. * (a)     213,619  
    500     Bio-Rad Laboratories, Inc. – Class A * (a)     207,355  
    105     Booking Holdings, Inc. * (a)     218,342  
    10,313     BorgWarner, Inc.     438,406  
    1,900     Capital One Financial Corp. (a)     196,156  
    724     CarMax, Inc. * (a)     50,217  
    6,300     Carrier Global Corp. (a)     279,216  
    2,900     CBRE Group, Inc. – Class A* (a)     230,840  
    2,800     Centene Corp. * (a)     243,740  
    1,265     Chevron Corp. (a)     231,887  
    400     Cigna Corp. (a)     131,556  
    4,300     Citigroup, Inc. (a)     208,163  
    14,000     Cleveland-Cliffs, Inc. *     216,720  
    3,400     Cognizant Technology Solutions Corp. – Class A (a)     211,514  
    7,000     Comcast Corp. – Class A (a)     256,480  
    1,500     CVS Health Corp. (a)     152,820  
    3,452     Darling Ingredients, Inc. * (a)     247,957  
    5,200     Dell Technologies, Inc. – Class C (a)     232,908  
    1,600     Discover Financial Services (a)     173,376  
    13,500     DISH Network Corp. – Class A* (a)     216,675  
    3,500     DR Horton, Inc. (a)     301,000  
    5,100     eBay, Inc. (a)     231,744  
    2,257     EOG Resources, Inc. (a)     320,336  
    4,900     Exelon Corp. (a)     202,713  
    1,200     FedEx Corp. (a)     218,664  
    5,600     Fidelity National Financial, Inc. (a)     226,016  
    17,800     Ford Motor Co. (a)     247,420  
    3,200     Fortune Brands Home & Security, Inc. (a)     209,088  
    200     Fox Corp. – Class A (a)     6,490  
    9,500     Fox Corp. – Class B (a)     289,940  
    9,800     Franklin Resources, Inc. (a)     262,738  
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          United States — continued      
    500     Garmin Ltd. (a)     46,495  
    6,000     General Motors Co.     243,360  
    800     Gilead Sciences, Inc. (a)     70,264  
    200     Goldman Sachs Group, Inc. (The) (a)     77,230  
    2,572     Green Plains, Inc. *     88,888  
    900     Henry Schein, Inc. * (a)     72,828  
    1,496     Hilton Worldwide Holdings, Inc. (a)     213,360  
    7,700     HP, Inc. (a)     231,308  
    4,000     IAC, Inc. * (a)     207,560  
    3,600     Incyte Corp. * (a)     286,812  
    7,900     Intel Corp. (a)     237,553  
    2,492     Intercontinental Exchange, Inc. (a)     269,909  
    2,100     International Business Machines Corp. (a)     312,690  
    9,600     Invesco Ltd. (a)     183,456  
    1,800     Jazz Pharmaceuticals Plc * (a)     282,438  
    15,300     Kinder Morgan, Inc. (a)     292,536  
    2,800     Knight-Swift Transportation Holdings, Inc. (a)     155,204  
    5,300     Kraft Heinz Co. (The) (a)     208,555  
    2,000     Kroger Co. (The) (a)     98,380  
    1,000     Laboratory Corp. of America Holdings (a)     240,700  
    288     Lam Research Corp. (a)     136,045  
    3,912     Las Vegas Sands Corp. * (a)     183,238  
    2,900     Lennar Corp. – Class A (a)     254,707  
    3,088     Liberty Global Plc – Class A * (a)     62,007  
    6,399     Liberty Global Plc – Class C * (a)     132,331  
    4,000     Lincoln National Corp.     155,760  
    24,000     Lumen Technologies, Inc. (a)     131,280  
    3,000     LyondellBasell Industries NV – Class A (a)     255,030  
    166     Markel Corp. * (a)     219,924  
    900     Match Group, Inc. * (a)     45,504  
    3,033     Meta Platforms, Inc. – Class A * (a)     358,197  
    1,100     MetLife, Inc. (a)     84,370  
    5,631     Micron Technology, Inc. (a)     324,627  
    1,800     Mohawk Industries, Inc. *     182,394  
    4,400     Molson Coors Brewing Co. – Class B (a)     242,484  
    2,500     Mosaic Co. (The) (a)     128,250  
    4,700     NRG Energy, Inc. (a)     199,515  
    1,600     Nucor Corp. (a)     239,920  
    1,600     Occidental Petroleum Corp. (a)     111,184  
    2,800     Oracle Corp. (a)     232,484  
    1,751     Otis Worldwide Corp. (a)     136,736  
    500     PACCAR, Inc. (a)     52,955  
    11,800     Paramount Global – Class B (a)     236,944  
    2,900     PayPal Holdings, Inc. * (a)     227,389  
    2,300     Pfizer, Inc. (a)     115,299  
    2,700     Prudential Financial, Inc. (a)     291,681  
    5,000     PulteGroup, Inc.     223,900  
    100     Quest Diagnostics, Inc. (a)     15,183  
    2,906     Raytheon Technologies Corp. (a)     286,880  
    400     Regeneron Pharmaceuticals, Inc. * (a)     300,680  
    2,901     Sensata Technologies Holding Plc     130,835  
    1,400     Skyworks Solutions, Inc. (a)     133,868  
    
Shares
    Description   Value ($)  
          United States — continued      
    1,200     SS&C Technologies Holdings, Inc. (a)     64,512  
    400     Stanley Black & Decker, Inc. (a)     32,688  
    2,700     Steel Dynamics, Inc. (a)     280,611  
    6,700     Synchrony Financial (a)     251,786  
    2,700     Textron, Inc. (a)     192,726  
    3,000     Tyson Foods, Inc. – Class A (a)     198,840  
    100     United Parcel Service, Inc. – Class B (a)     18,973  
    1,900     Universal Health Services, Inc. – Class B (a)     248,615  
    4,853     US Bancorp (a)     220,278  
    5,600     Verizon Communications, Inc. (a)     218,288  
    800     Vertex Pharmaceuticals, Inc. * (a)     253,120  
    21,600     Viatris, Inc. (a)     238,248  
    5,500     Walgreens Boots Alliance, Inc. (a)     228,250  
    3,023     Warner Bros Discovery, Inc. * (a)     34,462  
    5,252     Wells Fargo & Co. (a)     251,833  
    14,200     Western Union Co. (The) (a)     208,172  
    5,300     Western Digital Corp. *     194,775  
    1,800     Westlake Corp. (a)     193,770  
    1,300     Whirlpool Corp.     190,489  
    2,600     Zoom Video Communications, Inc. – Class A * (a)     196,118  
     

 

 

 
    Total United States     21,750,861  
     

 

 

 
    TOTAL COMMON STOCKS
(COST $78,443,375)
    74,504,756  
     

 

 

 
          PREFERRED STOCKS (e) —0.3%      
          Brazil — 0.2%      
    31,790     Bradespar SA     173,366  
    4,000     Petroleo Brasileiro SA     20,550  
    14,400     Petroleo Brasileiro SA Sponsored ADR (a)     147,600  
     

 

 

 
    Total Brazil     341,516  
     

 

 

 
          Germany — 0.1%      
    1,572     Bayerische Motoren Werke AG     136,409  
    742     Draegerwerk AG & Co KGaA (a)     33,631  
    1,095     Volkswagen AG (a)     161,743  
     

 

 

 
    Total Germany     331,783  
     

 

 

 
    TOTAL PREFERRED STOCKS
(COST $651,384)
    673,299  
     

 

 

 
          RIGHTS/WARRANTS — 0.0%      
          France — 0.0%      
    3,743     ALD SA *     8,140  
     

 

 

 
    TOTAL RIGHTS/WARRANTS
(COST $0)
    8,140  
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

Par Value† /

Shares

    Description   Value ($)  
    DEBT OBLIGATIONS — 6.5%  
          United States — 6.5%      
          U.S. Government — 6.5%      
    12,725,000     U.S. Treasury Note, 0.13%, due 02/28/23 (a)     12,591,663  
    51,000     U.S. Treasury Note, 0.13%, due 04/30/23 (a)     50,050  
     

 

 

 
    Total U.S. Government     12,641,713  
     

 

 

 
    Total United States     12,641,713  
     

 

 

 
    TOTAL DEBT OBLIGATIONS
(COST $12,759,280)
    12,641,713  
     

 

 

 
          MUTUAL FUNDS — 65.1%      
          United States — 65.1%      
          Affiliated Issuers — 65.1%      
    391,219     GMO Emerging Country Debt Fund, Class VI     7,452,723  
    1,313,356     GMO Emerging Markets ex-China Fund, Class VI     18,439,519  
    778,363     GMO Emerging Markets Fund, Class VI     18,423,857  
    1,184,054     GMO International Equity Fund, Class IV     25,386,124  
    635,829     GMO Multi-Sector Fixed Income Fund, Class IV     10,770,948  
    395,428     GMO Quality Fund, Class VI     10,368,121  
    305,280     GMO Small Cap Quality Fund, Class VI     7,036,693  
    1,416,387     GMO U.S. Equity Fund, Class VI     18,058,939  
    368,099     GMO U.S. Small Cap Value Fund, Class VI     6,338,655  
    812,804     GMO U.S. Treasury Fund     4,047,762  
     

 

 

 
    Total Affiliated Issuers     126,323,341  
     

 

 

 
    TOTAL MUTUAL FUNDS
(COST $137,427,677)
    126,323,341  
     

 

 

 
          SHORT-TERM INVESTMENTS — 7.4%  
          Money Market Funds — 0.2%      
    355,201     State Street Institutional Treasury Money Market Fund – Premier Class, 3.49% (f)     355,201  
     

 

 

 
          Repurchase Agreements — 7.2%      
    13,999,866     Nomura Securities International, Inc Repurchase Agreement, dated 11/30/22, maturing on 12/01/22 with a maturity value of $14,001,344 and an effective yield of 3.80%, collateralized by a U.S. Treasury Note with maturity date 11/30/24 and a market value of $14,285,569.     13,999,866  
     

 

 

 
    TOTAL SHORT-TERM INVESTMENTS
(COST $14,355,067)
    14,355,067  
     

 

 

 
    TOTAL INVESTMENTS — 117.7%
(Cost $243,636,783)
    228,506,316  
     

 

 

 
          SECURITIES SOLD SHORT — (17.4)%  
          Common Stocks — (17.3)%      
          Australia — (0.4)%      
    (4,131   ASX Ltd     (199,130
    (876   Cochlear Ltd     (128,841
    
Shares
    Description   Value ($)  
          Australia — continued      
    (564   Domino’s Pizza Enterprises Ltd     (25,831
    (4,940   IDP Education Ltd     (101,707
    (47,677   Qantas Airways Ltd *     (204,755
    (1,564   Ramsay Health Care Ltd     (70,387
     

 

 

 
    Total Australia     (730,651
     

 

 

 
          Austria — (0.1)%      
    (2,362   Verbund AG     (213,817
     

 

 

 
          Belgium — (0.1)%      
    (4,223   Anheuser-Busch InBev SA/NV     (249,053
     

 

 

 
          Canada — (1.0)%      
    (3,700   Agnico Eagle Mines Ltd     (186,369
    (13,900   Algonquin Power & Utilities Corp     (104,945
    (10,100   AltaGas Ltd     (169,466
    (1,800   BCE Inc     (85,752
    (5,700   Brookfield Renewable Corp – Class A     (185,877
    (5,400   Enbridge Inc     (222,966
    (1,500   Franco-Nevada Corp     (219,180
    (13,064   Pan American Silver Corp     (214,119
    (8,100   Pembina Pipeline Corp     (295,488
    (4,000   Restaurant Brands International Inc     (265,400
    (1,400   Ritchie Bros Auctioneers Inc     (76,790
     

 

 

 
    Total Canada     (2,026,352
     

 

 

 
          Denmark — (0.1)%      
    (232   Coloplast A/S – Class B     (27,426
    (3,514   Tryg A/S     (81,757
     

 

 

 
    Total Denmark     (109,183
     

 

 

 
          Finland — (0.0)%      
    (733   Elisa Oyj     (38,129
     

 

 

 
          France — (0.6)%      
    (7,842   Accor SA *     (206,560
    (1,525   Aeroports de Paris *     (235,060
    (13,476   Getlink SE     (222,696
    (179   Hermes International     (290,925
    (248   Sartorius Stedim Biotech     (84,643
    (1,899   Ubisoft Entertainment SA *     (52,827
    (1,163   Wendel SE     (108,291
     

 

 

 
    Total France     (1,201,002
     

 

 

 
          Germany — (0.7)%      
    (5,797   Delivery Hero SE *     (253,750
    (1,206   Deutsche Boerse AG     (221,632
    (451   MTU Aero Engines AG     (95,099
    (162   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Registered)     (51,169
    (1,773   Puma SE     (91,759
    (514   QIAGEN NV * (b)     (25,662
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          Germany — continued      
    (400   QIAGEN NV * (b)     (19,816
    (189   Rational AG     (118,749
    (362   Scout24 SE     (19,870
    (1,870   Symrise AG – Class A     (214,468
    (70,965   Telefonica Deutschland Holding AG     (169,731
    (1,308   Zalando SE *     (41,140
     

 

 

 
    Total Germany     (1,322,845
     

 

 

 
          Ireland — (0.0)%      
    (244   Flutter Entertainment Plc *     (36,331
     

 

 

 
          Israel — (0.2)%      
    (1,800   CyberArk Software Ltd *     (268,326
    (500   Wix.com Ltd *     (45,245
     

 

 

 
    Total Israel     (313,571
     

 

 

 
          Italy — (0.5)%      
    (6,384   Amplifon SPA     (180,840
    (986   Ferrari NV (b)     (220,077
    (300   Ferrari NV (b)     (66,915
    (15,620   FinecoBank Banca Fineco SPA     (253,696
    (22,515   Infrastrutture Wireless Italiane SPA     (224,559
     

 

 

 
    Total Italy     (946,087
     

 

 

 
          Japan — (1.9)%      
    (7,700   Aeon Co Ltd     (158,910
    (11,300   ANA Holdings Inc *     (243,310
    (9,500   Asahi Intecc Co Ltd     (170,058
    (2,400   GMO Payment Gateway Inc     (217,294
    (11,200   Japan Airlines Co Ltd *     (223,879
    (5,900   Japan Exchange Group Inc     (85,427
    (3,700   Keio Corp     (138,612
    (1,800   Keisei Electric Railway Co Ltd     (51,567
    (700   Kintetsu Group Holdings Co Ltd     (25,019
    (1,200   Lasertec Corp     (226,202
    (8,000   M3 Inc     (250,902
    (15,200   MonotaRO Co Ltd     (262,964
    (2,600   Nidec Corp     (163,729
    (10,600   Nihon M&A Center Holdings Inc     (145,121
    (20,000   Nippon Paint Holdings Co Ltd     (165,635
    (1,200   Nissin Foods Holdings Co Ltd     (91,446
    (10,700   Odakyu Electric Railway Co Ltd     (141,244
    (1,800   Oriental Land Co Ltd     (260,191
    (44,100   Rakuten Group Inc     (211,881
    (2,700   Shiseido Co Ltd     (115,317
    (3,400   Tobu Railway Co Ltd     (82,081
    (10,200   Tokyu Corp     (130,265
    (4,100   West Japan Railway Co     (174,659
     

 

 

 
    Total Japan     (3,735,713
     

 

 

 
    
Shares
    Description   Value ($)  
          Netherlands — (0.5)%      
    (169   Adyen NV *     (266,229
    (1,470   IMCD NV     (217,419
    (6,105   Just Eat Takeaway.com NV *     (141,442
    (770   OCI NV *     (32,597
    (10,847   Universal Music Group NV     (257,950
     

 

 

 
    Total Netherlands     (915,637
     

 

 

 
          New Zealand — (0.1)%      
    (4,074   Xero Ltd *     (202,458
     

 

 

 
          Norway — (0.1)%      
    (6,074   Aker BP ASA     (211,316
     

 

 

 
          Peru — (0.1)%      
    (4,400   Southern Copper Corp     (268,488
     

 

 

 
          Singapore — (0.2)%      
    (10,600   Grab Holdings Ltd – Class A *     (32,012
    (29,100   Singapore Airlines Ltd     (118,060
    (22,100   Singapore Exchange Ltd     (147,924
     

 

 

 
    Total Singapore     (297,996
     

 

 

 
          Spain — (0.3)%      
    (6,269   Cellnex Telecom SA *     (215,581
    (10,986   Ferrovial SA     (295,432
     

 

 

 
    Total Spain     (511,013
     

 

 

 
          Sweden — (0.1)%      
    (2,276   Evolution AB     (234,437
     

 

 

 
          Switzerland — (0.3)%      
    (5   Chocoladefabriken Lindt & Spruengli AG     (52,597
    (8   Givaudan SA     (27,045
    (196   Partners Group Holding AG     (195,288
    (26   Schindler Holding AG     (4,929
    (252   Sika AG (Registered)     (64,401
    (1,550   Straumann Holding AG (Registered)     (180,903
     

 

 

 
    Total Switzerland     (525,163
     

 

 

 
          United Kingdom — (0.9)%      
    (2,205   Admiral Group Plc     (53,908
    (30,631   Auto Trader Group Plc     (211,455
    (58   Croda International Plc     (4,796
    (2,894   Halma Plc     (76,767
    (14,090   Hargreaves Lansdown Plc     (145,176
    (37,618   Informa Plc     (282,109
    (2,873   InterContinental Hotels Group Plc     (167,218
    (2,983   London Stock Exchange Group Plc     (298,704
    (25,187   Ocado Group Plc *     (190,684
    (797   Prudential Plc     (9,480
    (245,783   Rolls-Royce Holdings Plc *     (272,340
    (605   Spirax-Sarco Engineering Plc     (82,626
     

 

 

 
    Total United Kingdom     (1,795,263
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          United States — (9.1)%      
    (9,800   AES Corp. (The)     (283,416
    (1,200   Alnylam Pharmaceuticals, Inc. *     (264,708
    (4,100   Altria Group, Inc.     (190,978
    (500   American Tower Corp. (REIT)     (110,625
    (200   Amgen, Inc.     (57,280
    (700   Aon Plc – Class A     (215,796
    (5,700   Aramark     (237,120
    (1,500   Arthur J Gallagher & Co.     (298,665
    (900   Autodesk, Inc. *     (181,755
    (500   Automatic Data Processing, Inc.     (132,070
    (1,900   Bill.Com Holdings, Inc. *     (228,798
    (1,000   BioMarin Pharmaceutical, Inc. *     (100,980
    (2,400   Bio-Techne Corp.     (203,976
    (1,500   Boeing Co. (The) *     (268,320
    (500   Broadcom, Inc.     (275,515
    (500   Brown & Brown, Inc.     (29,795
    (1,500   Burlington Stores, Inc. *     (293,520
    (5,400   Caesars Entertainment, Inc. *     (274,374
    (500   Catalent, Inc.*     (25,065
    (3,500   Ceridian HCM Holding, Inc. *     (239,540
    (100   Charles Schwab Corp. (The)     (8,254
    (200   Chipotle Mexican Grill, Inc. – Class A *     (325,392
    (4,500   Cloudflare, Inc. – Class A *     (221,130
    (1,000   CME Group, Inc.     (176,500
    (4,000   Coupa Software, Inc. *     (252,960
    (800   Crown Castle, Inc. (REIT)     (113,144
    (6,200   Delta Air Lines, Inc. *     (219,294
    (2,400   Dexcom, Inc. *     (279,072
    (1,700   Diamondback Energy, Inc.     (251,634
    (400   DocuSign, Inc. – Class A *     (18,828
    (2,300   Dominion Energy, Inc.     (140,553
    (700   Dynatrace, Inc. *     (27,125
    (1,800   Equity LifeStyle Properties, Inc. (REIT)     (119,556
    (100   Erie Indemnity Co. – Class A     (28,239
    (2,000   Essential Utilities, Inc.     (96,480
    (5,500   Exact Sciences Corp. *     (247,225
    (4,000   Fastenal Co.     (206,040
    (4,000   Fortinet, Inc. *     (212,640
    (700   Gartner, Inc. *     (245,259
    (3,100   Guidewire Software, Inc. *     (183,861
    (1,000   Hess Corp.     (143,910
    (700   HubSpot, Inc. *     (212,121
    (600   IDEXX Laboratories, Inc. *     (255,522
    (4,000   Ingersoll Rand, Inc.     (215,880
    (900   Insulet Corp. *     (269,433
    (1,300   IQVIA Holdings, Inc. *     (283,426
    (2,700   Iron Mountain, Inc. (REIT)     (146,691
    (4,100   Liberty Media Corp.-Liberty Formula One – Class C *     (249,854
    (700   Linde Plc *     (235,536
    (2,900   Live Nation Entertainment, Inc. *     (211,004
    (900   MarketAxess Holdings, Inc.     (241,128
    (500   Marriott International, Inc. – Class A     (82,675
    
Shares
    Description   Value ($)  
          United States — continued      
    (1,200   Marsh & McLennan Cos., Inc.     (207,816
    (500   McDonald’s Corp.     (136,395
    (300   McKesson Corp.     (114,504
    (1,300   MongoDB, Inc. – Class A *     (198,497
    (400   Monolithic Power Systems, Inc.     (152,784
    (400   Moody’s Corp.     (119,308
    (500   MSCI, Inc. – Class A     (253,915
    (200   Nasdaq, Inc.     (13,692
    (3,600   Newmont Corp.     (170,892
    (6,800   NiSource, Inc.     (189,992
    (2,800   Novocure Ltd. *     (215,152
    (4,100   Okta, Inc. *     (218,612
    (3,800   ONEOK, Inc.     (254,296
    (21,200   Palantir Technologies, Inc. – Class A *     (159,000
    (1,900   Paychex, Inc.     (235,657
    (1,600   Philip Morris International, Inc.     (159,472
    (700   PTC, Inc. *     (89,047
    (200   Public Storage (REIT)     (59,592
    (500   RingCentral, Inc. – Class A *     (18,530
    (5,100   ROBLOX Corp. – Class A *     (162,027
    (3,500   Roku, Inc. *     (207,795
    (6,200   Rollins, Inc.     (250,728
    (4,100   Royal Caribbean Cruises Ltd. *     (245,713
    (200   RPM International, Inc.     (20,724
    (500   S&P Global, Inc.     (176,400
    (1,500   Seagen, Inc. *     (182,085
    (500   ServiceNow, Inc. *     (208,150
    (900   Sherwin-Williams Co. (The)     (224,262
    (1,200   Simon Property Group, Inc. (REIT)     (143,328
    (4,500   Snap, Inc. – Class A *     (46,395
    (1,200   Snowflake, Inc. – Class A *     (171,480
    (200   Southern Co.     (13,528
    (2,400   Starbucks Corp.     (245,280
    (2,600   Sysco Corp.     (224,926
    (6,500   Teladoc Health, Inc. *     (185,315
    (1,000   Tesla, Inc.*     (194,700
    (400   T-Mobile U.S., Inc. *     (60,584
    (4,000   Trade Desk, Inc. (The) – Class A *     (208,560
    (400   TransDigm Group, Inc.     (251,400
    (4,300   Twilio, Inc. – Class A *     (210,786
    (7,000   Uber Technologies, Inc. *     (203,980
    (2,500   UDR, Inc. (REIT)     (103,675
    (100   Union Pacific Corp.     (21,743
    (900   Vail Resorts, Inc.     (231,786
    (500   Vulcan Materials Co.     (91,665
    (300   Wayfair, Inc. – Class A *     (10,992
    (8,600   Williams Cos., Inc. (The)     (298,420
    (2,242   Zillow Group, Inc. – Class C *     (85,151
    (100   Zoetis, Inc.     (15,414
    (1,400   Zscaler, Inc. *     (186,830
     

 

 

 
    Total United States     (17,683,637
     

 

 

 
    TOTAL COMMON STOCKS
(PROCEEDS $39,542,227)
    (33,568,142
     

 

 

 
 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

(showing percentage of total net assets)

November 30, 2022 (Unaudited)

 

    
Shares
    Description   Value ($)  
          PREFERRED STOCKS (e) — (0.1)%      
          Germany — (0.1)%      
    (561   Sartorius AG     (210,912
     

 

 

 
    TOTAL PREFERRED STOCKS
(PROCEEDS $236,085)
    (210,912
     

 

 

 
    TOTAL SECURITIES SOLD SHORT
(PROCEEDS $39,778,312)
    (33,779,054
    Other Assets and Liabilities (net) — (0.3%)     (612,076
     

 

 

 
    TOTAL NET ASSETS — 100.0%     $194,115,186  
     

 

 

 
 

 

A summary of outstanding financial instruments at November 30, 2022 is as follows:

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     1       05/24/2024     Monthly           (773     (773

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 1.00%   MORD   USD     1       05/24/2024     Monthly           (272     (272

Total Return on Equity
Basket (h)

  1 Month Federal Funds Rate minus 0.40%   MORD   USD     1,974,199       06/18/2024     Monthly           (63,416     (63,416

Total Return on Equity
Basket (g)

  1 Month Federal Funds Rate minus 0.40%   GS   USD     665,083       06/24/2024     Monthly           (6,749     (6,749
             

 

 

   

 

 

   

 

 

 
              $     $ (71,210   $ (71,210
             

 

 

   

 

 

   

 

 

 

As of November 30, 2022, 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 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.

 

(b)

Securities are traded on separate exchanges for the same entity.

 

(c)

Investment valued using significant unobservable inputs.

 

(d)

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

 

(e)

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

 

(f)

The rate disclosed is the 7 day net yield as of November 30, 2022.

 

(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.

 


GMO Strategic Opportunities Allocation Fund

(A Series of GMO Trust)

Schedule of Investments — (Continued)

November 30, 2022 (Unaudited)

 

 

(h)

The following table represents the individual long and/or short positions within the custom equity basket swap as of November 30, 2022:

 

Shares      Description    %of
Equity
Basket
    Value ($)  
  (72,000)      Air China Ltd – Class H      2.8     (57,952
  (134,300)      Airports of Thailand Pcl NVDR      14.1     (286,821
  (70,000)      Alibaba Health Information Technology Ltd      2.9     (59,091
  (153,000)      China Molybdenum Co Ltd – Class H      3.5     (71,677
  (11,040)      Ganfeng Lithium Co Ltd – Class H      4.8     (97,693
  (18,000)      Genscript Biotech Corp      2.3     (46,622
  (139,800)      Gulf Energy Development Pcl NVDR      10.4     (211,446
  (347)      Hanmi Pharm Co Ltd      3.4     (69,378
  (2,364)      Hotel Shilla Co Ltd      6.5     (132,847
  (1,795)      Kakao Corp      3.9     (78,758
  (88,000)      Kingdee International Software Group Co Ltd      7.3     (148,502
  (9,400)      Klabin SA      1.7     (35,685
  (4,107)      Korea Aerospace Industries Ltd      7.5     (152,523
  (17,600)      Microport Scientific Corp      2.1     (42,295
  (281)      POSCO Chemical Co Ltd      2.3     (47,463
  (327)      Samsung Biologics Co Ltd      10.9     (222,405
  (27,568)      Samsung Heavy Industries Co Ltd      5.4     (110,293
  (489)      Yuhan Corp      1.1     (21,858
  (110,000)      Zijin Mining Group Co Ltd – Class H      7.1     (145,999
       

 

 

 
   TOTAL COMMON STOCKS      $ (2,039,308
       

 

 

 

Portfolio Abbreviations:

ADR - American Depositary Receipt

CVA - Certificaaten van aandelen (Share Certificates)

GDR - Global Depositary Receipt

NVDR - Non-Voting Depositary Receipt

PJSC - Private Joint-Stock Company

REIT - Real Estate Investment Trust

Counterparty Abbreviations:

GS - Goldman Sachs International

MORD - Morgan Stanley Capital Services LLC

MSCI - Morgan Stanley & Co. International PLC

Currency Abbreviations:

USD - United States Dollar

 


Organization

Each of Alternative Allocation Fund, Benchmark-Free Allocation Fund, Benchmark-Free Fund, Global Asset Allocation Fund, Global Developed Equity Allocation Fund, Global Equity Allocation Fund, Implementation Fund, International Developed Equity Allocation Fund, International Equity Allocation Fund, SGM Major Markets Fund 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 and SGM Major Markets Fund may also invest in GMO Alternative Allocation SPC Ltd., GMO Implementation 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 and SGM Major Markets Fund

Alternative Allocation Fund, Implementation 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, 2022, the Funds did not reduce the value of any of their OTC derivatives contracts, if any, based on the creditworthiness of their counterparties. See Note 4 “Derivative financial instruments” for a further discussion on valuation of derivatives.

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, 2022:

 

         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Australia

  $     $ 1,667,334     $     $ 1,667,334  

Belgium

          778,533             778,533  

Brazil

    205,786       64,586             270,372  

Canada

    4,871,853                   4,871,853  

China

    46,830       785,258       421,069       1,253,157  

Denmark

          1,034,534             1,034,534  

Finland

          352,899             352,899  

France

          1,089,750             1,089,750  

Germany

          951,496             951,496  

India

          1,050,392             1,050,392  

Israel

    2,226,897                   2,226,897  

Italy

          544,078             544,078  

Japan

    51,450       15,490,108             15,541,558  

Netherlands

          2,109,650             2,109,650  

New Zealand

          150,157             150,157  

Poland

          12,953             12,953  

Portugal

          183,690             183,690  

South Africa

          174,814             174,814  

South Korea

    239,652       661,001             900,653  

Spain

          825,163             825,163  

Sweden

          935,420             935,420  

Switzerland

          1,004,249             1,004,249  

Taiwan

    3,951,511       52,834             4,004,345  

Thailand

          225,874             225,874  

Turkey

          162,636             162,636  

United Kingdom

    232,993       1,254,782             1,487,775  

United States

    68,345,281             34,111       68,379,392  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    80,172,253       31,562,191       455,180       112,189,624  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    201,925                   201,925  

Germany

          370,223             370,223  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    201,925       370,223             572,148  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

United States

                361,026       361,026  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

                361,026       361,026  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

                3,753,090       3,753,090  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

                3,753,090       3,753,090  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    43,200,095       23,291,366             66,491,461  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    43,200,095       23,291,366             66,491,461  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    6,056,565                   6,056,565  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    6,056,565                   6,056,565  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    19,906,998       19,802,395             39,709,393  

Purchased Options

    1,220       10,366             11,586  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    149,539,056       75,036,541       4,569,296       229,144,893  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          1,186,952             1,186,952  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Alternative Allocation Fund (continued)                        
Asset Valuation Inputs (continued)                        

Derivatives^ (continued)

         

Futures Contracts

         

Equity Risk

  $ 508,387     $ 594,965     $     $ 1,103,352  

Interest Rate Risk

    1,107                   1,107  

Physical Commodity Contract Risk

    227,743                   227,743  

Swap Contracts

         

Credit Risk

          6,349,703             6,349,703  

Equity Risk

          635,381             635,381  

Interest Rate Risk

          2,677,610             2,677,610  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 150,276,293     $ 86,481,152     $ 4,569,296     $ 241,326,741  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs                        

Common Stocks

         

Australia

  $     $ (1,064,522   $     $ (1,064,522

Austria

          (342,903           (342,903

Belgium

          (333,565           (333,565

Canada

    (2,803,035                 (2,803,035

Denmark

          (151,862           (151,862

Finland

          (53,058           (53,058

France

          (1,609,341           (1,609,341

Germany

          (1,824,322           (1,824,322

Ireland

          (50,476           (50,476

Israel

    (400,346                 (400,346

Italy

    (133,830     (1,274,067           (1,407,897

Japan

          (5,173,854           (5,173,854

Netherlands

          (1,172,984           (1,172,984

New Zealand

          (272,280           (272,280

Norway

          (291,855           (291,855

Peru

    (372,222                 (372,222

Singapore

    (66,742     (311,946           (378,688

Spain

          (707,719           (707,719

Sweden

          (326,317           (326,317

Switzerland

          (709,678           (709,678

United Kingdom

          (2,405,777           (2,405,777

United States

    (36,579,827                 (36,579,827
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (40,356,002     (18,076,526           (58,432,528
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (251,891           (251,891
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (251,891           (251,891
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (1,133,965           (1,133,965

Futures Contracts

         

Equity Risk

    (654,017     (68,291           (722,308

Interest Rate Risk

    (63,303                 (63,303

Physical Commodity Contract Risk

    (20,120                 (20,120

Written Options

         

Credit Risk

          (13,775           (13,775

Equity Risk

    (123,105                 (123,105

Swap Contacts

         

Credit Risk

          (1,292,096           (1,292,096

Equity Risk

          (377,305           (377,305

Interest Rate Risk

          (2,310,687           (2,310,687
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (41,216,547   $ (23,524,536   $     $ (64,741,083
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Benchmark-Free Allocation Fund                        
Asset Valuation Inputs                        

Mutual Funds

  $ 4,447,249,308     $     $     $ 4,447,249,308  

Short-Term Investments

    3,074,108                   3,074,108  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    4,450,323,416                   4,450,323,416  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 4,450,323,416     $     $     $ 4,450,323,416  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Argentina

  $ 4,522     $     $     $ 4,522  

Australia

          18,052,131             18,052,131  

Austria

          96,311             96,311  

Belgium

          5,556,431             5,556,431  

Brazil

    5,062,076       6,720,374       2,363       11,784,813  

Canada

    33,008,628       152,548             33,161,176  

Chile

    86,478       1,309,819             1,396,297  

China

    243,070       48,589,457       2,151,273       50,983,800  

Colombia

    38,551                   38,551  

Czech Republic

          347,424             347,424  

Denmark

          6,185,422             6,185,422  

Egypt

          419,885             419,885  

Finland

          7,254,747             7,254,747  

France

    1,901,232       34,323,851             36,225,083  

Germany

          14,965,348             14,965,348  

Greece

          479,752       0 §      479,752  

Hong Kong

          8,633,288             8,633,288  

Hungary

          2,208,564             2,208,564  

India

    698,005       33,328,155       977,308       35,003,468  

Indonesia

          6,885,203             6,885,203  

Ireland

    1,129,219       5,415,182             6,544,401  

Israel

    3,172,099       324,942             3,497,041  

Italy

    154,733       7,603,561             7,758,294  

Japan

    181,300       178,609,172             178,790,472  

Kuwait

          151,419             151,419  

Malaysia

          1,606,337             1,606,337  

Mexico

    16,612,163                   16,612,163  

Netherlands

    98,240       22,972,045             23,070,285  

New Zealand

          911,202             911,202  

Norway

          5,122,964             5,122,964  

Panama

    17,029                   17,029  

Philippines

          186,526             186,526  

Poland

          4,635,377             4,635,377  

Portugal

          6,229,004             6,229,004  

Qatar

          982,202             982,202  

Russia

          377,735       2,728,206       3,105,941  

Saudi Arabia

          2,644,157             2,644,157  

Singapore

          10,722,828             10,722,828  

South Africa

    400,538       15,160,606             15,561,144  

South Korea

    2,275,274       41,032,810             43,308,084  

Spain

          22,128,869             22,128,869  

Sweden

          8,044,877             8,044,877  

Switzerland

          10,746,718             10,746,718  

Taiwan

    2,854,825       41,279,258             44,134,083  

Thailand

          11,353,675             11,353,675  

Turkey

          9,182,522             9,182,522  

United Arab Emirates

          534,908             534,908  

United Kingdom

    6,710,935       44,465,322       574       51,176,831  

United States

    184,791,120                   184,791,120  

Vietnam

          4,235,423             4,235,423  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    259,440,037       652,168,351       5,859,724       917,468,112  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    4,872,109       9,280,154             14,152,263  

Colombia

    34,428                   34,428  

Germany

          2,462,610             2,462,610  

Russia

                297,756       297,756  

South Korea

          2,738,094             2,738,094  

Taiwan

          33,119             33,119  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    4,906,537       14,513,977       297,756       19,718,270  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Benchmark-Free Fund (continued)                        
Asset Valuation Inputs (continued)                        

Rights/Warrants

         

France

  $ 44,874     $     $     $ 44,874  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    44,874                   44,874  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    207,680,955       2             207,680,957  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    207,680,955       2             207,680,957  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    294,508,255                   294,508,255  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    294,508,255                   294,508,255  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    3,144,650       133,999,703             137,144,353  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    769,725,308       800,682,033       6,157,480       1,576,564,821  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          931,649             931,649  

Futures Contracts

         

Equity Risk

    169,850                   169,850  

Swap Contracts

         

Interest Rate Risk

          3,547,769             3,547,769  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 769,895,158     $ 805,161,451     $ 6,157,480     $ 1,581,214,089  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs                        

Common Stocks

         

Australia

  $     $ (6,124,423   $     $ (6,124,423

Austria

          (1,685,368           (1,685,368

Belgium

          (1,834,075           (1,834,075

Canada

    (15,412,553                 (15,412,553

Denmark

          (955,459           (955,459

Finland

          (309,450           (309,450

France

          (8,752,794           (8,752,794

Germany

          (9,844,571           (9,844,571

Ireland

          (260,422           (260,422

Israel

    (2,382,359                 (2,382,359

Italy

    (669,150     (6,794,176           (7,463,326

Japan

          (28,496,852           (28,496,852

Netherlands

          (6,773,785           (6,773,785

New Zealand

          (1,593,827           (1,593,827

Norway

          (1,777,121           (1,777,121

Peru

    (1,905,044                 (1,905,044

Russia

                (6,259     (6,259

Singapore

    (507,360     (1,703,053           (2,210,413

Spain

          (3,883,171           (3,883,171

Sweden

          (2,020,823           (2,020,823

Switzerland

          (3,682,001           (3,682,001

United Kingdom

          (13,199,052           (13,199,052

United States

    (135,758,732                 (135,758,732
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (156,635,198     (99,690,423     (6,259     (256,331,880
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (1,552,325           (1,552,325
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (1,552,325           (1,552,325
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (383,329           (383,329

Swap Contacts

         

Equity Risk

          (517,121           (517,121

Interest Rate Risk

          (3,068,137           (3,068,137
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (156,635,198   $ (105,211,335   $ (6,259   $ (261,852,792
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


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

Mutual Funds

  $ 352,009,530     $     $     $ 352,009,530  

Short-Term Investments

    210,546                   210,546  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    352,220,076                   352,220,076  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 352,220,076     $     $     $ 352,220,076  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Global Developed Equity Allocation Fund                        
Asset Valuation Inputs                        

Mutual Funds

  $ 81,674,866     $     $     $ 81,674,866  

Short-Term Investments

    45,313                   45,313  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    81,720,179                   81,720,179  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 81,720,179     $     $     $ 81,720,179  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Global Equity Allocation Fund                        
Asset Valuation Inputs                        

Mutual Funds

  $ 1,365,350,346     $     $     $ 1,365,350,346  

Short-Term Investments

    488,276                   488,276  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    1,365,838,622                   1,365,838,622  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 1,365,838,622     $     $     $ 1,365,838,622  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Consolidated Implementation Fund                        
Asset Valuation Inputs                        

Common Stocks

         

Argentina

  $ 1,280,176     $     $     $ 1,280,176  

Australia

          58,901,904             58,901,904  

Austria

          2,200,912             2,200,912  

Belgium

          18,029,006             18,029,006  

Brazil

    13,967,064       24,879,570       7,076       38,853,710  

Canada

    124,530,440       336,609             124,867,049  

Chile

    331,723       4,048,031             4,379,754  

China

    993,466       138,105,832       6,138,258       145,237,556  

Colombia

    66,478                   66,478  

Czech Republic

          1,009,119             1,009,119  

Denmark

          22,391,432             22,391,432  

Egypt

          1,503,630             1,503,630  

Finland

          22,009,559             22,009,559  

France

    5,237,136       103,873,009             109,110,145  

Germany

          44,080,293             44,080,293  

Greece

          1,602,000             1,602,000  

Hong Kong

          24,926,860             24,926,860  

Hungary

          7,705,985             7,705,985  

India

    2,344,320       97,603,582       2,812,854       102,760,756  

Indonesia

          19,724,920             19,724,920  

Ireland

    4,393,880       14,637,084             19,030,964  

Israel

    18,787,473       1,560,452             20,347,925  

Italy

          24,590,139             24,590,139  

Japan

    848,894       513,994,346             514,843,240  

Kuwait

          149,222             149,222  

Malaysia

          4,295,400             4,295,400  

Mexico

    49,900,522                   49,900,522  

Netherlands

    319,280       71,969,656       172       72,289,108  

New Zealand

          3,136,053             3,136,053  

Norway

          18,053,525             18,053,525  

Pakistan

          121,729             121,729  

Panama

    28,290                   28,290  

Philippines

          1,087,981             1,087,981  

Poland

          14,339,425             14,339,425  

Portugal

          23,393,326             23,393,326  

Qatar

          2,826,370             2,826,370  

Russia

          739,312       7,381,451       8,120,763  

Saudi Arabia

          7,286,809             7,286,809  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Implementation Fund (continued)                        
Asset Valuation Inputs (continued)                        

Common Stocks (continued)

         

Singapore

  $     $ 31,367,901     $     $ 31,367,901  

South Africa

    1,336,320       46,749,400             48,085,720  

South Korea

    6,947,856       114,793,481             121,741,337  

Spain

          68,157,120             68,157,120  

Sweden

          24,423,912             24,423,912  

Switzerland

          33,727,028             33,727,028  

Taiwan

    32,636,983       110,953,776             143,590,759  

Thailand

          31,591,806             31,591,806  

Turkey

          26,229,880             26,229,880  

Ukraine

          151,016             151,016  

United Arab Emirates

          1,256,585             1,256,585  

United Kingdom

    21,944,477       145,412,605       755       167,357,837  

United States

    849,657,952             9,453,118       859,111,070  

Vietnam

          11,920,850             11,920,850  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    1,135,552,730       1,941,848,442       25,793,684       3,103,194,856  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    14,799,583       34,870,718             49,670,301  

Chile

    2,280,680       67,441             2,348,121  

Germany

          8,077,322             8,077,322  

Russia

                659,125       659,125  

South Korea

          11,221,814             11,221,814  

Taiwan

          215,385             215,385  

United States

                1,616,790       1,616,790  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    17,080,263       54,452,680       2,275,915       73,808,858  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

Australia

                0 §      0 § 

Canada

                277,856       277,856  

France

    113,101                   113,101  

United States

                756,582       756,582  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    113,101             1,034,438       1,147,539  
   

 

 

   

 

 

   

 

 

   

 

 

 

Investment Funds

         

United States

                16,570,605       16,570,605  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENT FUNDS

                16,570,605       16,570,605  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

Austria

          1,138,167             1,138,167  

Canada

          4,465,196             4,465,196  

China

          520,795             520,795  

Israel

          4,694,958             4,694,958  

Netherlands

                51       51  

Ukraine

                1,435,380       1,435,380  

United Kingdom

          2,347,365             2,347,365  

United States

    1,130,904,620       114,673,273       22,315,721       1,267,893,614  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    1,130,904,620       127,839,754       23,751,152       1,282,495,526  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    12,878,006                   12,878,006  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    12,878,006                   12,878,006  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    25,705,155       160,783,116             186,488,271  

Purchased Options

    6,185                   6,185  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    2,322,240,060       2,284,923,992       69,425,794       4,676,589,846  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          9,376,355             9,376,355  

Futures Contracts

         

Equity Risk

    2,761,245       2,808,230             5,569,475  

Interest Rate Risk

    6,296                   6,296  

Physical Commodity Contract Risk

    1,089,937                   1,089,937  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Consolidated Implementation Fund (continued)                        
Asset Valuation Inputs (continued)                        

Derivatives^ (continued)

         

Swap Contracts

         

Credit Risk

  $     $ 588,546     $     $ 588,546  

Equity Risk

          1,823,950             1,823,950  

Interest Rate Risk

          25,691,149             25,691,149  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 2,326,097,538     $ 2,325,212,222     $ 69,425,794     $ 4,720,735,554  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs                        

Common Stocks

         

Australia

  $     $ (19,678,501   $     $ (19,678,501

Austria

          (6,039,191           (6,039,191

Belgium

          (6,232,754           (6,232,754

Canada

    (51,315,600                 (51,315,600

Denmark

          (2,828,254           (2,828,254

Finland

          (1,232,184           (1,232,184

France

          (29,154,609           (29,154,609

Germany

          (32,903,563           (32,903,563

Ireland

          (878,346           (878,346

Israel

    (7,717,258                 (7,717,258

Italy

    (2,096,670     (22,829,522           (24,926,192

Japan

          (93,459,810           (93,459,810

Netherlands

          (22,646,779           (22,646,779

New Zealand

          (5,054,754           (5,054,754

Norway

          (5,619,148           (5,619,148

Peru

    (6,776,576                 (6,776,576

Singapore

    (1,399,770     (6,016,690           (7,416,460

Spain

          (12,359,606           (12,359,606

Sweden

          (6,718,021           (6,718,021

Switzerland

          (12,544,384           (12,544,384

United Kingdom

          (43,630,333           (43,630,333

United States

    (504,878,594                 (504,878,594
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (574,184,468     (329,826,449           (904,010,917
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (5,110,756           (5,110,756
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (5,110,756           (5,110,756
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

China

          (4,714,071           (4,714,071
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

          (4,714,071           (4,714,071
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          (3,525,073           (3,525,073

Futures Contracts

         

Equity Risk

    (1,160,807     (331,431           (1,492,238

Interest Rate Risk

    (310,478                 (310,478

Physical Commodity Contract Risk

    (57,663                 (57,663

Written Options

         

Equity Risk

    (404,200                 (404,200

Swap Contacts

         

Credit Risk

          (499,668           (499,668

Equity Risk

          (3,314,631           (3,314,631

Interest Rate Risk

          (22,230,520           (22,230,520
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (576,117,616   $ (369,552,599   $     $ (945,670,215
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
International Developed Equity Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 210,724,404     $     $     $ 210,724,404  

Short-Term Investments

    88,960                   88,960  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    210,813,364                   210,813,364  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 210,813,364     $     $     $ 210,813,364  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


         
Description   Level 1     Level 2     Level 3     Total  
International Equity Allocation Fund  
Asset Valuation Inputs  

Mutual Funds

  $ 495,611,619     $     $     $ 495,611,619  

Short-Term Investments

    357,295                   357,295  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    495,968,914                   495,968,914  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 495,968,914     $     $     $ 495,968,914  
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Consolidated SGM Major Markets Fund  
Asset Valuation Inputs  

Debt Obligations

         

United States

  $ 151,230,621     $ 25,493,024     $     $ 176,723,645  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    151,230,621       25,493,024             176,723,645  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    2,500,716       2,413,611             4,914,327  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    153,731,337       27,906,635             181,637,972  
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

          1,458,300             1,458,300  

Futures Contracts

         

Equity Risk

    1,450,104       1,596,465             3,046,569  

Interest Rate Risk

    4,876                   4,876  

Physical Commodity Contract Risk

    642,280                   642,280  

Swap Contracts

         

Equity Risk

          897,852             897,852  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 155,828,597     $ 31,859,252     $     $ 187,687,849  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs  

Derivatives^

         

Forward Currency Contracts

         

Foreign Currency Risk

  $     $ (170,266   $     $ (170,266

Futures Contracts

         

Equity Risk

    (1,116,138     (189,074           (1,305,212

Interest Rate Risk

    (186,215                 (186,215

Physical Commodity Contract Risk

    (15,939                 (15,939

Swap Contacts

         

Equity Risk

          (768,651           (768,651
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (1,318,292   $ (1,127,991   $     $ (2,446,283
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 
Strategic Opportunities Allocation Fund  
Asset Valuation Inputs  

Common Stocks

         

Australia

  $     $ 2,228,845     $     $ 2,228,845  

Belgium

          789,116             789,116  

Brazil

    141,772       67,233             209,005  

Canada

    3,203,912                   3,203,912  

China

    40,140       844,560       307,561       1,192,261  

Denmark

          848,898             848,898  

Finland

          858,781             858,781  

France

          3,062,830             3,062,830  

Germany

          1,105,493             1,105,493  

Hong Kong

          1,159,845             1,159,845  

India

          759,662             759,662  

Ireland

    31,184       891,068             922,252  

Israel

    420,889       49,146             470,035  

Italy

          1,087,471             1,087,471  

Japan

          19,440,255             19,440,255  

Mexico

    489,130                   489,130  

Netherlands

    12,280       2,644,596             2,656,876  

New Zealand

          146,352             146,352  

Norway

          326,823             326,823  

Poland

          9,803             9,803  

Portugal

          793,335             793,335  

Russia

                19,613       19,613  
                                 


         
Description   Level 1     Level 2     Level 3     Total  
Strategic Opportunities Allocation Fund (continued)  
Asset Valuation Inputs (continued)  

Common Stocks (continued)

         

Singapore

  $     $ 1,131,405     $     $ 1,131,405  

South Africa

          158,354             158,354  

South Korea

    154,062       465,170             619,232  

Spain

          2,091,523             2,091,523  

Sweden

          1,000,759             1,000,759  

Switzerland

    30,270       710,980             741,250  

Taiwan

          58,721             58,721  

Thailand

          158,880             158,880  

Turkey

          79,655             79,655  

United Kingdom

    140,375       4,793,148             4,933,523  

United States

    21,750,861                   21,750,861  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    26,414,875       47,762,707       327,174       74,504,756  
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Brazil

    147,600       193,916             341,516  

Germany

          331,783             331,783  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

    147,600       525,699             673,299  
   

 

 

   

 

 

   

 

 

   

 

 

 

Rights/Warrants

         

France

    8,140                   8,140  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL RIGHTS/WARRANTS

    8,140                   8,140  
   

 

 

   

 

 

   

 

 

   

 

 

 

Debt Obligations

         

United States

    12,641,713                   12,641,713  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL DEBT OBLIGATIONS

    12,641,713                   12,641,713  
   

 

 

   

 

 

   

 

 

   

 

 

 

Mutual Funds

         

United States

    126,323,341                   126,323,341  
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL MUTUAL FUNDS

    126,323,341                   126,323,341  
   

 

 

   

 

 

   

 

 

   

 

 

 

Short-Term Investments

    355,201       13,999,866             14,355,067  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

    165,890,870       62,288,272       327,174       228,506,316  
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ 165,890,870     $ 62,288,272     $ 327,174     $ 228,506,316  
   

 

 

   

 

 

   

 

 

   

 

 

 
Liability Valuation Inputs                        

Common Stocks

         

Australia

  $     $ (730,651   $     $ (730,651

Austria

          (213,817           (213,817

Belgium

          (249,053           (249,053

Canada

    (2,026,352                 (2,026,352

Denmark

          (109,183           (109,183

Finland

          (38,129           (38,129

France

          (1,201,002           (1,201,002

Germany

    (19,816     (1,303,029           (1,322,845

Ireland

          (36,331           (36,331

Israel

    (313,571                 (313,571

Italy

    (66,915     (879,172           (946,087

Japan

          (3,735,713           (3,735,713

Netherlands

          (915,637           (915,637

New Zealand

          (202,458           (202,458

Norway

          (211,316           (211,316

Peru

    (268,488                 (268,488

Singapore

    (32,012     (265,984           (297,996

Spain

          (511,013           (511,013

Sweden

          (234,437           (234,437

Switzerland

          (525,163           (525,163

United Kingdom

          (1,795,263           (1,795,263

United States

    (17,683,637                 (17,683,637
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL COMMON STOCKS

    (20,410,791     (13,157,351           (33,568,142
   

 

 

   

 

 

   

 

 

   

 

 

 

Preferred Stocks

         

Germany

          (210,912           (210,912
   

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL PREFERRED STOCKS

          (210,912           (210,912
   

 

 

   

 

 

   

 

 

   

 

 

 

Derivatives^

         

Swap Contacts

         

Equity Risk

          (71,210           (71,210
   

 

 

   

 

 

   

 

 

   

 

 

 

Total

  $ (20,410,791   $ (13,439,473   $     $ (33,850,264
   

 

 

   

 

 

   

 

 

   

 

 

 
                                 


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). 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, 2022.

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

U.S. GAAP requires additional disclosures about fair value measurements for material Level 3 securities and derivatives, if any (determined by each category of asset or liability as compared to a Fund’s total net assets). Level 3 holdings include investments valued using unadjusted prices supplied by a third-party pricing source (e.g., broker quotes, vendor). Alternative Allocation Fund, Benchmark-Free Fund, Implementation Fund and Strategic Opportunities Allocation Fund’s Level 3 holdings each include three common stocks valued at their last price prior to trading being suspended. Benchmark-Free Fund and Implementation Fund’s holdings include one security valued off the parent security until a merger is finalized. Benchmark-Free Fund’s Level 3 holdings also include thirteen common and/or preferred stocks valued off the last traded price with a 93% discount. Implementation Fund’s Level 3 holdings also include thirteen common and/or preferred stocks valued off the last traded price with a 93% discount, three common and/or preferred stocks that are priced at the average of broker bids and a common stock priced with a 20% discount to a comparable stock and an additional 10% 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, 2022.

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 28,
2022
    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,
2022
    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as
of November 30,
2022
 
Consolidated Alternative Allocation Fund                                
Common Stocks

 

             

China

  $ 66,215     $     $     $     $     $ 30     $ 354,824 ‡    $     $ 421,069     $ 30  

United States

          16,970                         17,141                   34,111       17,141  
Rights/Warrants

 

             

United States

    263,451                               97,575                   361,026       97,575  
Investment Funds

 

             

United States

    5,607,602       301,290       (2,421,994                 266,192                   3,753,090       266,192  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 5,937,268     $ 318,260     $ (2,421,994   $     $     $ 380,938     $ 354,824     $     $ 4,569,296     $ 380,938  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 
Benchmark-Free Fund                                
Common Stocks

 

             

Brazil

  $     $ 4,273     $ (2,306   $     $ 382     $ 14     $     $     $ 2,363     $ 14  

China

    381,895       251,324       (251,324                 178       1,769,200 ‡            2,151,273       178  

India

          1,056,162                         (78,854                 977,308       (78,854

Russia

    965,229             (115,000           (474,979     (154,192     2,507,148 ‡            2,728,206       (542,893

United Kingdom

                                        574 ‡            574        
Preferred Stocks

 

             

Russia

                                        297,756 ‡            297,756        
Securities Sold Short

 

             

Russia

                (78,267                 72,008                   (6,259     72,008  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 1,347,124     $ 1,311,759     $ (446,897   $     $ (474,597   $ (160,846   $ 4,574,678     $     $ 6,151,221     $ (549,547
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 
Consolidated Implementation Fund                                
Common Stocks

 

             

Brazil

  $     $ 12,798     $ (6,908   $     $ 1,145     $ 41     $     $     $ 7,076     $ 41  

China

    965,024       879,827       (898,220           (33,595     (1,602     5,226,824 ‡            6,138,258       426  

India

          3,019,067                         (206,213                 2,812,854       (206,213

Netherlands

    185                               (13                 172       (13

Russia

    1,248,215             (347,230           (1,653,109     818,483       7,315,092 ‡            7,381,451       (204,667

United Kingdom

                                        755 ‡            755        
                                                                                 


                     
     Balances
as of
February 28,
2022
    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,
2022
    Net Change in
Unrealized
Appreciation
(Depreciation)
from
Investments
Still Held as
of November 30,
2022
 
Consolidated Implementation Fund (continued)                                
Common Stocks (continued)

 

             

United States

  $ 8,961,199     $ 1,527,556     $     $     $     $ (1,035,637   $     $     $ 9,453,118     $ (1,035,637
Preferred Stocks                                                            

Russia

                                        659,125 ‡            659,125        

United States

    875,250             (27           27       741,540                   1,616,790       741,540  
Rights/Warrants                                                            

Canada

    300,085                               (22,229                 277,856       (22,229

United States

    682,940             (277,922           277,922       73,642                   756,582       204,482  
Investment Funds                                                            

United States

    22,156,919       2,904,671       (9,504,928                 1,013,943                   16,570,605       1,013,943  
Debt Obligations                                                        

Bank Loans

                       

Luxembourg

    2,436,433             (2,429,250     695       (21,290     13,412                          

United States

    18,428,534       15,811,514       (8,989,663     482,318       (1,774,685     (1,642,437                 22,315,581       (1,663,312

Corporate Debt

                       

Netherlands

    55                               (4                 51       (4

Ukraine

          1,249,515             164,078             21,787                   1,435,380       21,787  

United States

    140                                                 140        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 56,054,979     $ 25,404,948     $ (22,454,148 )#    $ 647,091     $ (3,203,585   $ (225,287   $ 13,201,796     $     $ 69,425,794     $ (1,149,856
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 
Strategic Opportunities Allocation Fund                                
Common Stocks

 

             

China

  $ 61,485     $     $     $     $     $ 29     $ 246,047 ‡    $     $ 307,561     $ 29  

Russia

                                        19,613 ‡            19,613        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments

  $ 61,485     $     $     $     $     $ 29     $ 265,660     $     $ 327,174     $ 29  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                                                                                 

 

 

Financial assets transferred between levels were due to a change in observable and/or unobservable inputs as well as the impact of the Russian invasion of Ukraine on local and global markets, as applicable.

  #

Includes $1,937,540 of proceeds received from partial calls and/or principal paydowns as applicable.

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, 2022 for Funds with material Level 3 investments.

Quantitative information about Level 3 Fair Value Measurements*

 

         
Investment Type   Total Fair
Value ($)
   

Valuation

Methodology

    Unobservable Inputs   Range (Weighted
Average)
 

Consolidated Alternative Allocation Fund*

                           

Benchmark-Free Fund

                           

Common Stock

          Fair Value     Discount for lack of liquidity/marketability     $0 (N/A)  

Common Stock

    2,600,429       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Common Stock

    574       Fair Value     Price of comparable equity/Discount for liquidity     99%/(N/A)  

Common Stock (American Depositary Receipt)

    11,042       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Common Stock (Global Depositary Receipt)

    116,733       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  

Preferred Stock

    297,756       Fair Value     Price of comparable equity/Discount for liquidity     93%/(N/A)  


         
Investment Type   Total Fair
Value ($)
   

Valuation

Methodology

  Unobservable Inputs   Range (Weighted
Average)

Consolidated Implementation Fund

                   

Common Stock

    1,624,302     Fair Value   Discount rate   30% (N/A)

Common Stock

    7,048,591     Fair Value   Most relevant broker quote   N/A

Common Stock

    15,131     Fair Value   Discount for lack of liquidity/marketability   $0 (N/A)

Corporate Debt

    191     Fair Value   Discount for lack of liquidity/marketability   $0 (N/A)

Common Stock

    7,040,647     Fair Value   Price of comparable equity/Discount for liquidity   93%/(N/A)

Common Stock

    755     Fair Value   Price of comparable equity/Discount for liquidity   99%/(N/A)

Common Stock (American Depositary Receipt)

    20,075     Fair Value   Price of comparable equity/Discount for liquidity   93%/(N/A)

Common Stock (Global Depositary Receipt)

    320,729     Fair Value   Price of comparable equity/Discount for liquidity   93%/(N/A)

Preferred Stock

    659,125     Fair Value   Price of comparable equity/Discount for liquidity   93%/(N/A)

Strategic Opportunities Allocation Fund

                   

Common Stock

    19,613     Fair Value   Price of comparable equity/Discount for liquidity   93%/(N/A)

 

  *

The table does not include Level 3 securities or derivatives that are valued by pricing vendors or brokers. As of November 30, 2022, the value of these securities and/or derivatives for Consolidated Alternative Allocation Fund, Benchmark-Free Fund, Consolidated Implementation Fund and Strategic Opportunities Allocation Fund was $4,569,296, $3,130,944, $52,696,248 and $307,561, 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, 2022 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 ex-China Fund, Class VI

   $      $ 6,060,879      $      $      $      $     $ (4,314   $ 6,056,565  

GMO Emerging Markets Fund, Class VI

     9,811,873               8,145,879        104,779               (3,146,257     1,480,263        
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 9,811,873      $ 6,060,879      $ 8,145,879      $ 104,779      $      $ (3,146,257   $ 1,475,949     $ 6,056,565  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                       
Benchmark-Free Allocation Fund  

GMO Emerging Country Debt Fund, Class VI

   $ 115,273,843      $ 43,375,196      $      $ 3,775,197      $      $     $ (13,007,382   $ 145,641,657  

GMO High Yield Fund, Class VI

            144,265,957        37,480,000               265,956        673,681       2,437,802       109,897,440  

GMO Implementation Fund

     4,681,432,538        286,416,078        994,382,441        27,052,053               (43,781,398     (61,787,267     3,867,897,510  

GMO Opportunistic Income Fund, Class VI

     183,719,672        64,664,014        36,783,277        1,415,480        2,748,534        (2,546,836     (6,222,664     202,830,909  

GMO SGM Major Markets Fund, Class VI

     141,735,622        7,765,972        19,520,836        2,067,940        5,698,032        (3,164,752     (5,834,214     120,981,792  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 5,122,161,675      $ 546,487,217      $ 1,088,166,554      $ 34,310,670      $ 8,712,522      $ (48,819,305   $ (84,413,725   $ 4,447,249,308  
    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

   

 

 

 
                                                                       


                 
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
 
Benchmark-Free Fund                                                     

GMO Emerging Country Debt Fund, Class VI

   $ 48,097,631      $ 10,383,090      $      $ 1,383,089     $      $     $ (5,123,131   $ 53,357,590  

GMO Emerging Markets Fund, Class VI

     34,016,640               30,376,060                     (8,199,771     4,559,191        

GMO High Yield Fund, Class VI

            72,633,901        11,000,000              133,902        190,438       1,359,504       63,183,843  

GMO Opportunistic Income Fund, Class VI

     91,945,071        1,998,978        20,500,000        679,516       1,319,462        (198,526     (3,812,468     69,433,055  

GMO Resources Fund

            60,151,011        8,220,000        415,301       1,495,710        (2,166,936     1,424,343       51,188,418  

GMO SGM Major Markets Fund, Class VI

     60,781,806        3,564,675        11,000,000        949,209       2,615,466        (1,550,114     (2,707,847     49,088,520  

GMO U.S. Treasury Fund

     10,090,292        98,376,029        100,111,116        **             (140,177     41,801       8,256,829  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 244,931,440      $ 247,107,684      $ 181,207,176      $ 3,427,115     $ 5,564,540      $ (12,065,086   $ (4,258,607   $ 294,508,255  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      
Global Asset Allocation Fund                                                

GMO Alternative Allocation Fund, Class VI

   $ 130,004,197      $ 1,928,341      $ 80,866,210      $     $ 558,341      $ (8,781,034   $ 7,590,294     $ 49,875,588  

GMO Asset Allocation Bond Fund, Class VI

     37,983,141        1,874,703        16,291,124        157,843              (595,395     (3,168,291     19,803,034  

GMO Emerging Country Debt Fund, Class VI

     18,116,964        344,687        6,400,000        344,687              (2,571,105     693,557       10,184,103  

GMO Emerging Markets ex-China Fund, Class VI

     27,671,845        10,449,691        9,066,422        46,772       90,494        (2,076,153     (1,500,139     25,478,822  

GMO Emerging Markets Fund, Class VI

     68,376,141        8,814,627        34,370,470        794,735              (11,902,068     (1,623,780     29,294,450  

GMO High Yield Fund, Class VI

            8,515,699        1,306,785              15,699        (250     162,693       7,371,357  

GMO International Equity Fund, Class IV

     107,093,353        5,434,675        41,469,900        244,637              (2,646,909     (3,307,187     65,104,032  

GMO-Usonian Japan Value Creation Fund, Class VI

     24,981,389        871,680        7,707,124        67,282       804,397        (910,918     (2,722,039     14,512,988  

GMO Multi-Sector Fixed Income Fund, Class IV

     56,164,303        15,465,009        26,472,096                     (4,726,032     (593,355     39,837,829  

GMO Opportunistic Income Fund, Class VI

     19,591,715        758,742        9,315,726        87,955       170,787        (438,876     (177,547     10,418,308  

GMO Quality Cyclicals Fund, Class VI

     20,219,676        828,795        7,719,178        166,014       257,296        1,498,407       (2,980,715     11,846,985  

GMO Quality Fund, Class VI

     12,268,439        3,395,579        4,503,562        16,593       229,536        863,815       (1,329,128     10,695,143  

GMO Small Cap Quality

                      

Fund, Class VI

            11,005,175        1,797,394                     23,751       1,651,403       10,882,935  

GMO U.S. Equity Fund, Class VI

     61,434,084        3,838,231        27,103,629        104,128       2,173,582        (2,674,567     411,761       35,905,880  

GMO U.S. Small Cap Value Fund, Class VI

     39,124,376        2,471,807        25,936,859        59,490       1,885,586        (4,546,975     (465,242     10,647,107  

GMO U.S. Treasury Fund

     1,879        3,691,724        3,542,422        1,724              (220     8       150,969  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 623,031,502      $ 79,689,165      $ 303,868,901      $ 2,091,860     $ 6,185,718      $ (39,484,529   $ (7,357,707   $ 352,009,530  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Global Developed Equity Allocation Fund

 

GMO Emerging Markets ex-China Fund, Class VI

   $ 5,198,953      $ 2,260,387      $      $ 12,393     $ 23,976      $     $ (821,535   $ 6,637,805  

GMO Emerging Markets Fund, Class VI

     2,322,106        562,145        2,324,018        32,145              (991,127     430,894        

GMO International Equity Fund, Class IV

     35,410,730        113,666               113,666                    (2,332,570     33,191,826  

GMO-Usonian Japan Value Creation Fund, Class VI

     3,551,214        157,562               12,161       145,399              (619,219     3,089,557  

GMO Quality Cyclicals Fund, Class VI

     4,855,891        129,579        500,000        50,818       78,760        97,909       (567,574     4,015,805  

GMO Quality Fund, Class VI

     10,955,561        302,313               20,381       281,932              (695,981     10,561,893  

GMO Small Cap Quality Fund, Class VI

            3,500,000                                  604,737       4,104,737  

GMO U.S. Equity Fund, Class VI

     15,406,078        1,992,638        566,000        36,236       756,402        (127,576     (673,885     16,031,255  

GMO U.S. Small Cap Value Fund, Class VI

     9,077,255        584,561        4,100,000        17,879       566,682        (679,341     (840,487     4,041,988  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 86,777,788      $ 9,602,851      $ 7,490,018      $ 295,679     $ 1,853,151      $ (1,700,135   $ (5,515,620   $ 81,674,866  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      


                 
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 Equity Allocation Fund

 

GMO Emerging Markets ex-China Fund, Class VI

   $ 109,848,838      $ 50,846,678      $ 7,545,000      $ 256,127     $ 495,551      $ (4,008,226   $ (13,412,896   $ 135,729,394  

GMO Emerging Markets Fund, Class VI

     234,294,075        43,450,511        57,825,000        3,550,512              (27,029,903     (25,562,831     167,326,852  

GMO International Equity Fund, Class IV

     558,402,561        11,093,617        60,973,228        1,633,617              (12,969,540     (24,777,750     470,775,660  

GMO-Usonian Japan Value Creation Fund, Class VI

     64,071,354        5,321,193        4,461,524        220,847       2,640,345        (1,383,004     (10,013,983     53,534,036  

GMO Quality Cyclicals Fund, Class VI

     88,997,330        2,318,040        14,575,000        909,089       1,408,952        2,301,388       (11,142,683     67,899,075  

GMO Quality Fund, Class VI

     217,951,740        6,495,638        22,890,317        389,031       5,381,606        916,838       (15,870,788     186,603,111  

GMO Small Cap Quality Fund, Class VI

            63,000,000        1,065,000                     28,451       10,727,198       72,690,649  

GMO U.S. Equity Fund, Class VI

     142,993,024        31,083,356        20,837,384        310,107       6,473,249        (4,950,373     (2,655,128     145,633,495  

GMO U.S. Small Cap Value Fund, Class VI

     163,718,031        17,028,278        87,245,000        323,693       10,259,584        (24,918,489     (3,424,746     65,158,074  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 1,580,276,953      $ 230,637,311      $ 277,417,453      $ 7,593,023     $ 26,659,287      $ (72,012,858   $ (96,133,607   $ 1,365,350,346  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

Consolidated Implementation Fund

 

GMO U.S. Treasury Fund

   $ 12,509,088      $ 246,643,984      $ 246,100,604      $ —  ** $             $ (133,861   $ (40,601   $ 12,878,006  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

International Developed Equity Allocation Fund

 

GMO Emerging Markets ex-China Fund, Class VI

   $ 16,722,440      $ 3,403,895      $ 360,803      $ 38,407     $ 74,309      $ (186,420   $ (2,552,983   $ 17,026,129  

GMO International Equity Fund, Class IV

     204,248,674        8,332,933        14,920,829        630,485              (671,073     (11,676,596     185,313,109  

GMO-Usonian Japan Value Creation Fund, Class VI

     9,520,380        1,463,995        980,019        32,903       393,375        (199,273     (1,419,917     8,385,166  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 230,491,494      $ 13,200,823      $ 16,261,651      $ 701,795     $ 467,684      $ (1,056,766   $ (15,649,496   $ 210,724,404  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      

International Equity Allocation Fund

 

GMO Emerging Markets ex-China Fund, Class VI

   $ 51,415,947      $ 5,187,665      $ 8,650,000      $ 93,732     $ 181,351      $ (2,798,744   $ (4,960,058   $ 40,194,810  

GMO Emerging Markets Fund, Class VI

     195,154,856        19,196,222        32,830,000        2,417,177              (7,742,775     (28,919,763     144,858,540  

GMO International Equity Fund, Class IV

     404,162,685        7,689,640        97,872,181        1,039,641              270,742       (23,228,221     291,022,665  

GMO-Usonian Japan Value Creation Fund, Class VI

     28,241,638        2,036,925        6,380,000        81,368       972,803        (930,205     (3,432,754     19,535,604  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 678,975,126      $ 34,110,452      $ 145,732,181      $ 3,631,918     $ 1,154,154      $ (11,200,982   $ (60,540,796   $ 495,611,619  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      
Strategic Opportunities Allocation Fund  

GMO Emerging Country Debt Fund, Class VI

   $ 8,106,380      $ 193,183      $      $ 193,183     $      $     $ (846,840   $ 7,452,723  

GMO Emerging Markets ex-China Fund, Class VI

     14,945,997        5,591,032               31,018       60,013              (2,097,510     18,439,519  

GMO Emerging Markets Fund, Class VI

     30,720,697        3,356,092        8,950,000        456,093              (3,604,696     (3,098,236     18,423,857  

GMO International Equity Fund, Class IV

     31,835,141        796,977        5,265,000        96,977              291,482       (2,272,476     25,386,124  

GMO Multi-Sector Fixed Income Fund, Class IV

     6,442,772        7,650,000        2,420,000                     (278,877     (622,947     10,770,948  

GMO Quality Fund, Class VI

     12,951,749        335,656        2,055,000        22,628       313,027        254,709       (1,118,993     10,368,121  

GMO Small Cap Quality Fund, Class VI

            6,000,000                                  1,036,693       7,036,693  

GMO U.S. Equity Fund, Class VI

     19,532,079        2,920,605        3,380,000        42,087       878,518        144,897       (1,158,642     18,058,939  

GMO U.S. Small Cap Value Fund, Class VI

     16,286,703        1,047,062        8,280,000        32,025       1,015,037        (1,540,549     (1,174,561     6,338,655  

GMO U.S. Treasury Fund

     4,509,502        63,345        498,000        63,420              (4,000     (23,085     4,047,762  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 

Totals

   $ 145,331,020      $ 27,953,952      $ 30,848,000      $ 937,431     $ 2,266,595      $ (4,737,034   $ (11,376,597   $ 126,323,341  
    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

   

 

 

   

 

 

 
                                                                      


  *

The table above includes estimated sources of all distributions paid by the underlying funds during the period March 1, 2022 through November 30, 2022. The actual tax characterization of distributions paid by the underlying funds will be determined at the end of the fiscal year ending February 28, 2023.

  **

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 $88,857 and $188,519 in Benchmark-Free Fund and Consolidated Implementation Fund, respectively, during the period.

Subsequent events

Subsequent to November 30, 2022, GMO SGM Major Markets Fund received redemption requests in the amount of $53,259,625.

***

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.