0000930413-18-002724.txt : 20180827 0000930413-18-002724.hdr.sgml : 20180827 20180827104112 ACCESSION NUMBER: 0000930413-18-002724 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 9 CONFORMED PERIOD OF REPORT: 20180630 FILED AS OF DATE: 20180827 DATE AS OF CHANGE: 20180827 EFFECTIVENESS DATE: 20180827 FILER: COMPANY DATA: COMPANY CONFORMED NAME: COLLEGE RETIREMENT EQUITIES FUND CENTRAL INDEX KEY: 0000777535 IRS NUMBER: 136022042 STATE OF INCORPORATION: NY FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-04415 FILM NUMBER: 181038319 BUSINESS ADDRESS: STREET 1: 730 THIRD AVE CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 2129164905 MAIL ADDRESS: STREET 1: 730 THIRD AVE CITY: NEW YORK STATE: NY ZIP: 10017 0000777535 S000005080 Stock Account C000154473 Class R1 QCSTRX C000154474 Class R2 QCSTPX C000154475 Class R3 QCSTIX 0000777535 S000005081 Global Equities Account C000154476 Class R1 QCGLRX C000154477 Class R2 QCGLPX C000154478 Class R3 QCGLIX 0000777535 S000005082 Growth Account C000154479 Class R1 QCGRRX C000154480 Class R2 QCGRPX C000154481 Class R3 QCGRIX 0000777535 S000005083 Equity Index Account C000154482 Class R1 QCEQRX C000154483 Class R2 QCEQPX C000154484 Class R3 QCEQIX 0000777535 S000005084 Bond Market Account C000154485 Class R1 QCBMRX C000154486 Class R2 QCBMPX C000154487 Class R3 QCBMIX 0000777535 S000005085 Inflation-Linked Bond Account C000154488 Class R1 QCILRX C000154489 Class R2 QCILPX C000154490 Class R3 QCILIX 0000777535 S000005086 Social Choice Account C000154491 Class R1 QCSCRX C000154492 Class R2 QCSCPX C000154493 Class R3 QCSCIX 0000777535 S000005087 Money Market Account C000154494 Class R1 QCMMRX C000154495 Class R2 QCMMPX C000154496 Class R3 QCMMIX N-CSRS 1 c91490_ncsrs.htm

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT
INVESTMENT COMPANIES

 

Investment Company Act file number   File No. 811-04415

 

COLLEGE RETIREMENT EQUITIES FUND

(Exact Name of Registrant as specified in charter)

 

730 Third Avenue, New York, New York 10017-3206

(Address of Principal Executive Offices) (Zip code)

 

Rachael M. Zufall, Esq.

College Retirement Equities Fund

8500 Andrew Carnegie Blvd.

Charlotte, North Carolina 28262-8500

(Name and address of agent for service)

 

Registrant’s telephone number, including area code: 704-595-1000

 

Date of fiscal year end: December 31

 

Date of reporting period: June 30, 2018

 

Item 1. Reports to Stockholders.

 

 

Semiannual Report  ■  June 30, 2018

 

College Retirement
Equities Fund

 

The semiannual report contains the financial statements (unaudited).

 

Account name Class R1 Class R2 Class R3
Stock Account QCSTRX QCSTPX QCSTIX
Global Equities Account QCGLRX QCGLPX QCGLIX
Growth Account QCGRRX QCGRPX QCGRIX
Equity Index Account QCEQRX QCEQPX QCEQIX
Bond Market Account QCBMRX QCBMPX QCBMIX
Inflation-Linked Bond Account QCILRX QCILPX QCILIX
Social Choice Account QCSCRX QCSCPX QCSCIX
Money Market Account QCMMRX QCMMPX QCMMIX


 

Contents

 

Understanding this report 3
Letter to CREF participants 4
Information for CREF participants 6
About the accounts’ benchmarks 7
Important information about expenses 9
Account performance  
CREF Stock Account 10
CREF Global Equities Account 13
CREF Growth Account 16
CREF Equity Index Account 19
CREF Bond Market Account 22
CREF Inflation-Linked Bond Account 25
CREF Social Choice Account 28
CREF Money Market Account 31
Summary portfolios of investments 34
Financial statements (unaudited)  
Statements of assets and liabilities 72
Statements of operations 74
Statements of changes in net assets 76
Financial highlights 82
Notes to financial statements 92
Approval of investment management agreement 109
Additional information about index providers 119
How to reach us Inside back cover
   
   
 

Understanding this report

 

This semiannual report contains information about the CREF variable annuity accounts and describes their results for the six months ended June 30, 2018. The report contains four main sections:

A letter to participants from Carol Deckbar, Principal Executive Officer, CREF; Executive Vice President, TIAA Institutional Investments and Endowment Services.
The account performance section compares each account’s investment returns with those of its benchmark index.
The summary portfolios of investments list the industries and types of securities in which each account had investments as of June 30, 2018.
The financial statements provide detailed information about the operations and financial condition of each account.

 

The views and opinions expressed in this report are through the end of the period, as stated on the cover of this report. They are subject to change at any time based on a variety of factors. As such, they are not guarantees of future performance or investment results and should not be taken as investment advice. The risks of investing in the CREF accounts vary from account to account; to see the risks of investing in an individual account, please read the latest CREF prospectus.

 

As always, you should carefully consider the investment objectives, risks, charges and expenses of any account before investing. For a prospectus that contains this and other important information, please visit our website at TIAA.org, or call 877-518-9161. We urge you to read the prospectus carefully before investing.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 3
 

Letter to CREF participants

 

Global equity markets generated mixed results during the first six months of 2018 amid rising U.S. interest rates and uneven economic growth overseas. The U.S. economy expanded at a healthy pace, and domestic stocks gained ground during the period. The Federal Reserve raised the federal funds target rate twice during the period in response to the economy’s continued growth. Yields on shorter-term U.S. Treasury securities rose more than those on longer-term government bonds, possibly reflecting uncertainty about the pace of future economic expansion. Growth of some foreign economies slowed, and international stocks recorded losses. Central banks in Europe committed to maintaining historically low benchmark interest rates well into 2019.

 

Returns for the five CREF accounts with significant exposure to U.S. equities ranged from a loss of 0.8% for the Global Equities Account to a gain of 8.0% for the Growth Account.
The Bond Market Account declined 1.8%, while the Inflation-Linked Bond Account lost 0.1%.
During the period, one account outperformed and the other seven slightly lagged their respective benchmarks.
All account returns are for Class R1.

 

CREF Account performance review

 

For the six-month period, three of the CREF accounts had positive results. Domestic growth stocks outperformed value shares, and smaller-cap equities outpaced large-cap stocks. U.S.-based equities surpassed international stocks, and equities generally outpaced fixed-income securities.

Looking at individual account performance, the Stock Account, which is the largest CREF account in terms of net assets, gained 0.8% but slightly lagged its composite benchmark.

The Growth Account outperformed its benchmark, returning 8.0%, helped in part by overweight positions in several strong-performing information technology stocks.

The Global Equities Account had a slight loss and modestly underperformed its benchmark.

The Bond Market Account slightly underperformed its benchmark in part due to an emphasis on corporate bonds, the worst-performing sector of the fixed-income market during the period.

The Equity Index Account and Inflation-Linked Bond Account both trailed their respective benchmarks by small margins, primarily due to the effect of expenses.

The Social Choice Account slightly lagged its composite benchmark. The Account’s relative performance was partially held back by the exclusion of several stocks and bonds due to environmental, social and governance screening.

Finally, the Money Market Account trailed its benchmark but benefited from the increase in short-term interest rates.

For full details on performance for all of the accounts, please see the commentaries on the following pages.

 

4 2018 Semiannual Report  ■  College Retirement Equities Fund
 

 

Carol Deckbar

 

Domestic stocks advanced

 

The U.S. stock market, as measured by the broad-based Russell 3000® Index, returned 3.2% for the six-month period, responding to continued economic growth amid rising but moderate inflation. Domestic equity markets struggled with increased volatility during the first three months of the period but recorded solid gains in the final three months.

Foreign equities, as represented in U.S.-dollar terms by the MSCI EAFE Index, fell 2.7%.

U.S. investment-grade fixed-rate bonds, as measured by the Bloomberg Barclays U.S. Aggregate Bond Index, declined 1.6%, reflecting two interest-rate increases by the Federal Reserve and generally rising rates during the period. Corporate bonds were the weakest performing fixed-income sector.

 

How to manage uncertainty

 

We are now in the second-longest period of economic expansion in U.S. history. The bull market for domestic stocks recently celebrated its remarkable ninth anniversary. But amid these impressive developments, there are also reasons for concern. U.S. bond yields are moving in ways that have historically warned of potential economic trouble ahead, with short-term yields showing greater increases than those for long-term bonds. Some economies in Europe and elsewhere overseas, which had been expanding in stride with the United States, now appear to be slowing. Increasing global political tensions, along with the unpredictable economic consequences of new trade tariffs, are factors worthy of caution.

It is impossible to anticipate the future direction or pace of financial markets, but change itself is a certainty. Keeping long-term goals in mind, we believe a well-balanced and diversified portfolio of financial assets is a wise and prudent way for investors to manage market change, whatever it may be. (Of course, diversification does not guarantee against market loss.)

As always, we recommend that you consult your financial advisor or call a TIAA financial consultant with any questions about your investments. To learn more, visit us at TIAA.org or call 800-842-2252. We would be happy to assist you.

 

/s/ Carol W. Deckbar

 

Carol W. Deckbar

Principal Executive Officer, CREF

Executive Vice President, TIAA Institutional Investments and Endowment Services

 

College Retirement Equities Fund  ■  2018 Semiannual Report 5
 

Information for CREF participants

 

Portfolio holdings

 

Securities and Exchange Commission (SEC) rules allow investment companies to list the top holdings of each account in their annual and semiannual reports, instead of providing complete portfolio listings. CREF also files complete portfolio listings with the SEC, and they are available to the public.

You can also obtain a complete list of CREF’s portfolio holdings (Schedules of Investments) as of the most recently completed fiscal quarter in the following ways:

By visiting our website at TIAA.org; or
By calling us at 800-842-2252 to request a copy, which will be provided free of charge.

You can also obtain a complete list of CREF’s portfolio holdings as of the most recently completed fiscal quarter, and for prior quarter-ends, from our SEC Form N-CSR and Form N-Q filings. Form N-CSR filings are as of December 31 or June 30; Form N-Q filings are as of March 31 or September 30. Copies of these forms are available:

Through the Electronic Data Gathering and Retrieval System (EDGAR) on the SEC’s website at sec.gov; or
From the SEC’s Office of Investor Education and Advocacy. Call 202-551-8090 for more information.

 

Proxy voting

 

CREF’s ownership of stock gives it the right to vote on proxy issues of companies in which it invests. A description of our proxy voting policies and procedures can be found on our website at TIAA.org or on the SEC’s website at sec.gov.

You can also call us at 800-842-2252 to request a free copy. A report of how the accounts voted during the most recently completed twelve-month period ended June 30 can be found on our website or on Form N-PX at sec.gov.

 

Contacting TIAA

 

There are three easy ways to contact us: by email, using the Contact Us link at the top of our home page; by mail at TIAA, 730 Third Avenue, New York, NY 10017–3206; or by phone at 800-842-2252.

 

Account management

 

The CREF accounts are managed by the portfolio management teams of TIAA-CREF Investment Management, LLC. The members of these teams are responsible for the day-to-day investment management of the accounts.

 

6 2018 Semiannual Report  ■  College Retirement Equities Fund
 

About the accounts’ benchmarks

 

CREF Stock Account

 

The Account’s composite benchmark is a weighted average of two unmanaged indexes: the Russell 3000® Index, which measures the performance of the broad U.S. stock market, and the MSCI All Country World ex USA Investable Market Index, which measures the performance of small-, mid- and large-cap stocks in 46 developed- and emerging-markets nations throughout the world, excluding the United States.

On December 15, 2017, the Morningstar Aggressive Target Risk Index was added as a broad-based securities market index for the Stock Account. The Morningstar Aggressive Target Risk Index has a 95% global equity market exposure and has a multi-asset class exposure that is similar to the Stock Account.

 

CREF Global Equities Account

 

On May 1, 2018, the benchmark for the Global Equities Account changed from the MSCI World Index to the MSCI All Country World Index (ACWI). The MSCI ACWI measures the performance of large- and mid-capitalization stocks in 23 developed-markets countries and 24 emerging-markets countries.

 

CREF Growth Account

 

The Account’s benchmark is the Russell 1000® Growth Index, a subset of the Russell 1000 Index, which measures the performance of the stocks of the 1,000 largest companies in the Russell 3000 Index, based on market capitalization. The Russell 1000 Growth Index measures the performance of those stocks of the Russell 1000 Index with higher relative forecasted growth rates and price/book ratios.

 

CREF Equity Index Account

 

The Account’s benchmark is the Russell 3000 Index, which measures the performance of the stocks of the 3,000 largest publicly traded U.S. companies, based on market capitalization. The index measures the performance of about 98% of the total market capitalization of the publicly traded U.S. equity market.

 

CREF Bond Market Account

 

The Account’s benchmark is the Bloomberg Barclays U.S. Aggregate Bond Index, which measures the performance of the domestic investment-grade fixed-rate bond market, including government and corporate securities, agency mortgage pass-through securities, asset-backed securities and commercial mortgage-backed securities.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 7
 

About the accounts’ benchmarks

 

CREF Inflation-Linked Bond Account

 

The Account’s benchmark is the Bloomberg Barclays U.S. Treasury Inflation Protected Securities (TIPS) 1–10 Year Index, which measures the performance of fixed-income securities with maturities between 1 and 10 years that are adjusted for inflation, as measured by the Consumer Price Index for All Urban Consumers (CPI-U).

 

CREF Social Choice Account

 

The Account’s composite benchmark is a weighted average of three unmanaged indexes: the Russell 3000® Index, which measures the performance of the broad U.S. stock market; the Bloomberg Barclays U.S. Aggregate Bond Index, which measures the performance of the domestic investment-grade, fixed-rate bond market; and the MSCI EAFE+Canada Index, which measures stock performance in 22 developed-market nations, excluding the United States.

On May 1, 2018, the Morningstar Moderate Target Risk Index was added as an additional broad-based securities market index for the Social Choice Account. This index is part of a family of five indexes covering equity risk preferences ranging from aggressive to conservative. The index has a multi-asset class exposure (60% global equity, 40% global fixed income) that is similar to the Social Choice Account.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

Russell 1000® and Russell 3000 are trademarks and service marks of Frank Russell Company. TIAA products are not promoted or sponsored by, or affiliated with, Frank Russell Company. MSCI makes no express or implied warranties or representations and shall have no liability whatsoever with respect to any MSCI data contained herein. This report is not approved, reviewed or produced by MSCI. EAFE stands for Europe, Australasia, Far East.

 

8 2018 Semiannual Report  ■  College Retirement Equities Fund
 

Important information about expenses

 

All participants in the CREF accounts incur ongoing costs, including management fees and other account expenses.

The expense examples for each Class that appear in this report are intended to help you understand your ongoing costs (in U.S. dollars) and do not reflect transactional costs. The examples are designed to help you compare these ongoing costs with the ongoing costs of investing in other variable annuity accounts and mutual funds. Participants in the CREF accounts do not incur a sales charge for purchases or other distributions.

The examples are based on an investment of $1,000 invested at the beginning of the six-month period and held for the entire period (January 1, 2018–June 30, 2018).

 

Actual expenses

 

The first section in each table uses the Account’s actual expenses and its actual rate of return. You may use the information in this section, together with the amount you invested, to estimate the expenses that you paid over the six-month period.

Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line under the heading “Expenses paid during period” to estimate the expenses you paid during the six-month period.

 

Hypothetical example for comparison purposes

 

The second section in the table shows hypothetical account values and expenses based on the Account’s actual expense ratio for each Class for the six-month period and an assumed 5%-per-year rate of return before expenses. This was not the Account’s actual return.

This hypothetical example cannot be used to estimate the actual expenses you paid for the period, but rather allows you to compare the ongoing costs of investing in the Account with the costs of other accounts. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of other variable annuity accounts and mutual funds.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 9
 

CREF Stock Account

 

Performance for the six months ended June 30, 2018

 

The CREF Stock Account returned 0.83% for the period, compared with the 1.15% return of its composite benchmark, a weighted average of the Russell 3000® Index and the MSCI All Country World (ACWI) ex USA Investable Market Index (IMI). For the twelve months ended June 30, 2018, the Account returned 12.01%, versus 12.67% for the composite index. (All returns for the Account are for Class R1.)

During the six months, the U.S. economy continued to grow, while inflation remained moderate. Unemployment fell to 3.8% in May, its lowest level in 18 years, and ended the period at 4.0%. The Federal Reserve raised the federal funds target rate twice during the period to 1.75%–2.00%. Core inflation, which includes all items except food and energy, rose 2.3% for the twelve months ended June 30, 2018. Oil prices increased, and the U.S. dollar gained ground against most major currencies over the six months. The broad U.S. stock market, as measured by the Russell 3000 Index, advanced 3.22%. Growth stocks outperformed value shares by a wide margin, and small caps surpassed mid- and large-cap equities for the period. (Returns by investment style and capitalization size are based on the Russell indexes.)

The MSCI ACWI ex USA IMI, which measures the performance of mid- and large-cap stocks in 46 developed- and emerging-markets countries outside the United States, declined 3.65% in U.S.-dollar terms for the six months, underperforming U.S. stocks.

 

Account advanced but trailed its composite benchmark

 

The Account’s stock selections detracted from relative performance for the six months. The leading detractors were overweight positions in plastic packaging producer Berry Global, insurer American International Group and Goldman Sachs. Conversely, the Account benefited from other stock choices. An overweight investment in salesforce.com helped as the technology company reported record revenue for two consecutive quarters. An underweight position in Procter & Gamble also helped as market share declined for some key product lines. And an overweight in oil and gas producer EOG Resources was beneficial due to the rise in oil prices.

The Account’s returns may sometimes diverge from the returns of its benchmark more than would be expected. This divergence may be the result of the Account’s fair value pricing adjustments or of the timing of foreign currency valuations. Many foreign exchanges close for trading before the Account’s accumulation unit value (AUV) is calculated (see the current CREF prospectus for more details on AUV calculations). In the intervening hours, the values of foreign securities can change, and these changes are not reflected immediately in the returns of the Account’s benchmark. These changes are, however, taken into account to value the Account’s portfolio holdings at the time the Account’s AUV is calculated; these are known as fair value pricing adjustments.

 

10 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Stock Account

 

Performance as of June 30, 2018

 

CREF Stock Account  Total return   Average annual
total return
   Estimated
annual
operating
 
   Inception date  6 months   1 year   5 years   10 years   expenses* 
Class R1  7/31/1952   0.83%   12.01%   10.69%   7.66%   0.580%
Class R2  4/24/2015   0.92    12.26    10.87   7.75   0.370 
Class R3  4/24/2015   0.94    12.32    10.93   7.78   0.305 
CREF Stock Composite Benchmark      1.15    12.67    11.24    8.06     
Broad market indexes                            
Morningstar Aggressive Target Risk Index§      0.46    11.42    9.93    7.55     
Russell 3000® Index      3.22    14.78    13.29    10.23     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the Account’s current prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.
On June 30, 2018, the CREF Stock Composite Benchmark consisted of: 70.0% Russell 3000 Index and 30.0% MSCI All Country World ex USA Investable Market Index. The Account’s benchmark, the components that make up the composite benchmark and the method of calculating the composite benchmark’s performance may vary over time.
§ On December 15, 2017, the Morningstar Aggressive Target Risk Index was added as an additional broad-based securities market index for the Stock Account. For more information, please see the Account’s current prospectus.

 

Expense example

 

Six months ended June 30, 2018

    Beginning     Ending     Expenses paid  
    account value     account value     during period *
CREF Stock Account   (1/1/18 )   (6/30/18 )   (1/1/18–6/30/18 )
Actual return                  
Class R1   $1,000.00     $1,008.26     $2.69  
Class R2   1,000.00     1,009.20     1.74  
Class R3   1,000.00     1,009.38     1.54  
5% annual hypothetical return                  
Class R1   1,000.00     1,022.12     2.71  
Class R2   1,000.00     1,023.06     1.76  
Class R3   1,000.00     1,023.26     1.56  
   
* “Expenses paid during period” is based on the Account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average Account value over the six-month period, multiplied by 181/365. There were
   
College Retirement Equities Fund  ■  2018 Semiannual Report 11
 

CREF Stock Account

 

181 days in the six months ended June 30, 2018. The Account’s annualized six-month expense ratios for that period were 0.54% for Class R1, 0.35% for Class R2 and 0.31% for Class R3.

 

For more information about this expense example, please see page 9.

 

Account profile  
  as of 6/30/2018
Net assets $122.42 billion
Portfolio turnover rate* 30%
Number of holdings 9,810
Weighted median market capitalization $44.91 billion
Price/earnings ratio (weighted 12-month trailing average) 22.64

 

* The portfolio turnover rate covers the six-month period from January 1, 2018–June 30, 2018 and is not annualized.
Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.

 

Portfolio composition  
  % of net assets
Sector as of 6/30/2018
Information technology 21.4
Financials 15.9
Consumer discretionary 13.0
Health care 11.8
Industrials 10.7
Consumer staples 6.7
Energy 6.6
Materials 5.1
Real estate 3.6
Utilities 2.6
Telecommunication services 1.9
Short-term investments, other assets & liabilities, net 0.7
Total 100.0
Holdings by company size  
  % of equity investments
Market capitalization as of 6/30/2018
More than $50 billion 46.9
More than $15 billion–$50 billion 23.4
More than $2 billion–$15 billion 23.6
$2 billion or less 6.1
Total 100.0

 

Holdings by country
  % of portfolio investments
  as of 6/30/2018
United States 67.8
Japan 5.0
United Kingdom 3.2
China 2.4
France 2.1
Germany 2.0
Canada 2.0
Switzerland 1.4
63 other nations 11.8
Short-term investments 2.3
Total 100.0


 

12 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Global Equities Account

 

Performance for the six months ended June 30, 2018

 

The CREF Global Equities Account returned –0.81% for the period, compared with the –0.43% return of its benchmark, the MSCI All Country World Index (ACWI). For the twelve months ended June 30, 2018, the Account returned 11.09%, versus 10.73% for the index. (All returns for the Account are for Class R1.)

During the six-month period, uneven economic growth and trade tensions with the United States helped drive stock prices lower in both developed- and emerging-markets countries. The European Central Bank (ECB) reduced its euro area growth forecast for the year after slower growth in the first quarter of 2018. China’s economy recorded strong growth during the first quarter, but some economic measures, including new investment and retail sales, fell below expectations late in the period. Emerging-markets countries struggled with the effects of a stronger U.S. dollar and generally higher interest rates. The Federal Reserve raised the federal funds target rate twice during the period to 1.75%–2.00%. The ECB decided to end its bond-buying program—intended to support the euro area economy—by the end of 2018, but it signaled that it would leave benchmark interest rates at present levels until at least the summer of 2019.

Within the MSCI ACWI, the U.S. posted a gain, but most international markets declined in U.S.-dollar terms over the period. The U.S. dollar’s strength was a headwind to performance.

 

Account trailed its benchmark

 

The Account lagged its benchmark during the period, in part due to certain stock choices that detracted from relative performance—notably an overweight position in Dutch financial firm ING Groep, an underweight in Netflix and an overweight in Comcast.

Other stock selections were advantageous, especially overweight positions in Amazon.com, EOG Resources and salesforce.com. Amazon.com’s stock soared on higher-than-expected revenues; oil and gas producer EOG Resources benefited as oil prices climbed higher; and technology company salesforce.com reported record results for two consecutive quarters.

The Account’s returns may sometimes diverge from the returns of its benchmark more than would be expected. This divergence may be the result of the Account’s fair value pricing adjustments or of the timing of foreign currency valuations. Many foreign exchanges close for trading before the Account’s accumulation unit value (AUV) is calculated (see the current CREF prospectus for more details on AUV calculations). In the intervening hours, the values of foreign securities can change, and these changes are not reflected immediately in the returns of the Account’s benchmark. These changes are, however, taken into account to value the Account’s portfolio holdings at the time the Account’s AUV is calculated; these are known as fair value pricing adjustments.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 13
 

CREF Global Equities Account

 

Performance as of June 30, 2018                
CREF Global Equities Account  Total return   Average annual
total return
   Estimated
annual
operating
 
   Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  5/1/1992   –0.81%   11.09%   9.47%   6.05%   0.610%
Class R2  4/24/2015   –0.72    11.33    9.65   6.14   0.400 
Class R3  4/24/2015   –0.70    11.39    9.71   6.17   0.335 
MSCI ACWI Index     –0.43    10.73    9.41    5.80     
MSCI World Index     0.43    11.09    9.94    6.26     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the Account’s current prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.
On May 1, 2018, the benchmark for the Global Equities Account changed from the MSCI World Index to the MSCI All Country World Index (ACWI). For more information, please see the Account’s current prospectus.
                   
Expense example                  
 
Six months ended June 30, 2018                  
    Beginning     Ending     Expenses paid  
    account value     account value     during period *
CREF Global Equities Account   (1/1/18 )   (6/30/18 )   (1/1/18–6/30/18 )
Actual return                  
Class R1   $1,000.00     $   991.87     $2.77  
Class R2   1,000.00     992.79     1.83  
Class R3   1,000.00     992.98     1.63  
5% annual hypothetical return                  
Class R1   1,000.00     1,022.02     2.81  
Class R2   1,000.00     1,022.96     1.86  
Class R3   1,000.00     1,023.16     1.66  

 

* “Expenses paid during period” is based on the Account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average Account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2018. The Account’s annualized six-month expense ratios for that period were 0.56% for Class R1, 0.37% for Class R2 and 0.33% for Class R3.

 

For more information about this expense example, please see page 9.

 

14 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Global Equities Account

 

Account profile  
  as of 6/30/2018
Net assets $20.74 billion
Portfolio turnover rate* 54%
Number of holdings 2,940
Weighted median market capitalization $53.57 billion
Price/earnings ratio (weighted 12-month trailing average) 20.74

 

* The portfolio turnover rate covers the six-month period from January 1, 2018–June 30, 2018 and is not annualized.
Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.

 

Portfolio composition  
  % of net assets
Sector as of 6/30/2018
Information technology 22.3
Financials 15.6
Consumer discretionary 14.7
Health care 11.1
Industrials 10.5
Energy 7.1
Consumer staples 6.5
Materials 6.3
Real estate 1.5
Telecommunication services 1.4
Utilities 1.3
Short-term investments, other assets & liabilities, net 1.7
Total 100.0
Holdings by company size
% of equity investments
Market capitalization as of 6/30/2018
More than $50 billion 50.3
More than $15 billion–$50 billion 26.4
More than $2 billion–$15 billion 21.6
$2 billion or less 1.7
Total 100.0

 

Holdings by country
% of portfolio investments
  as of 6/30/2018
United States 55.4
Japan 7.0
United Kingdom 5.6
China 3.9
France 3.1
Canada 2.5
Switzerland 2.4
Germany 2.3
48 other nations 15.3
Short-term investments 2.5
Total 100.0


 

College Retirement Equities Fund  ■  2018 Semiannual Report 15
 

CREF Growth Account

 

Performance for the six months ended June 30, 2018

 

The CREF Growth Account returned 8.01% for the period, compared with the 7.25% return of its benchmark, the Russell 1000® Growth Index. For the twelve months ended June 30, 2018, the Account returned 23.66%, versus 22.51% for the index. (All returns for the Account are for Class R1.)

During the six-month period, the U.S. economy continued to grow, while inflation remained moderate. Unemployment fell to 3.8% in May, its lowest level in 18 years, and ended the period at 4.0%. Consumers responded to strengthening wage growth, a robust labor market and federal tax cut legislation, driving strong retail sales growth late in the period. The Federal Reserve raised the federal funds target rate on two occasions during the period, increasing the key short-term interest-rate measure to 1.75%–2.00%. Core inflation, which includes all items except food and energy, rose 2.3% for the twelve months ended June 30, 2018. The price of oil increased, and the U.S. dollar gained ground against most major currencies over the six months. The broad U.S. stock market, as measured by the Russell 3000® Index, advanced 3.22%. Growth stocks outperformed value shares by a wide margin, and small caps surpassed mid- and large-cap equities for the period. (Returns by investment style and capitalization size are based on the Russell indexes.)

For the ten years ended June 30, 2018, the Russell 1000 Growth Index posted an average annual return of 11.83%, versus the 8.49% average annual return of the Russell 1000 Value Index.

 

Account produced solid gains, surpassed its benchmark

 

Seven of the eleven industry sectors of the Russell 1000 Growth Index produced positive returns for the six months. Consumer discretionary (up 14.2%) and information technology (up 12.2%) contributed most to the index’s return. Together, these two sectors represented more than one-half of the benchmark’s total market capitalization on June 30, 2018. The utilities, health care, financials, energy and real estate sectors each produced single-digit returns. Telecommunication services (down 4.7%) was the worst-performing sector during the period. The consumer staples, materials and industrials sectors each generated slightly smaller losses.

The Account outperformed its benchmark during the reporting period through a combination of favorable stock selections and sector allocations. Overweight positions in Intuit, Twitter and technology company salesforce.com were the largest contributors as all three saw strong revenue growth.

Conversely, an underweight position in Apple, which rose on higher sales of its new iPhone, was the largest detractor. An out-of-benchmark position in retailer Walmart and an overweight in industrial manufacturer Parker-Hannifin also limited the Account’s relative performance.

 

16 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Growth Account

 

Performance as of June 30, 2018                
                
CREF Growth Account  Total return   Average annual
total return
   Estimated
annual
operating
 
   Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  4/29/1994   8.01%   23.66%   16.35%   11.27%   0.530%
Class R2  4/24/2015   8.11    23.93    16.54   11.36   0.320 
Class R3  4/24/2015   8.13    24.00    16.61   11.39   0.255 
Russell 1000® Growth Index   7.25    22.51    16.36    11.83     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the Account’s current prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.

 

Expense example                  
 
Six months ended June 30, 2018                  
    Beginning     Ending     Expenses paid  
    account value     account value     during period
CREF Growth Account   (1/1/18 )   (6/30/18 )   (1/1/18–6/30/18 )
Actual return                  
Class R1 $1,000.00   $1,080.07     $2.48  
Class R2   1,000.00     1,081.09     1.50  
Class R3   1,000.00     1,081.29     1.34  
5% annual hypothetical return                  
Class R1   1,000.00     1,022.41     2.41  
Class R2   1,000.00     1,023.36     1.45  
Class R3   1,000.00     1,023.51     1.30  

 

* “Expenses paid during period” is based on the Account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average Account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2018. The Account’s annualized six-month expense ratios for that period were 0.48% for Class R1, 0.29% for Class R2 and 0.26% for Class R3.

 

For more information about this expense example, please see page 9.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 17
 

CREF Growth Account

 

Account profile  
  as of 6/30/2018
Net assets $26.84 billion
Portfolio turnover rate* 35%
Number of holdings 601
Weighted median market capitalization $98.26 billion
Price/earnings ratio (weighted 12-month trailing average) 32.42

 

* The portfolio turnover rate covers the six-month period from January 1, 2018–June 30, 2018 and is not annualized.
Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.

 

Portfolio composition  
  % of net assets
Sector as of 6/30/2018
Information technology 47.4
Consumer discretionary 18.0
Health care 12.7
Industrials 10.4
Consumer staples 3.9
Financials 3.5
Materials 1.7
Energy 1.0
Real estate 0.7
Telecommunication services 0.2
Short-term investments, other assets & liabilities, net 0.5
Total 100.0
Holdings by company size
% of equity investments
Market capitalization as of 6/30/2018
More than $50 billion 64.1
More than $15 billion–$50 billion 24.0
More than $2 billion–$15 billion 11.8
$2 billion or less 0.1
Total 100.0


 

18 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Equity Index Account

 

Performance for the six months ended June 30, 2018

 

The CREF Equity Index Account returned 2.99% for the period, compared with the 3.22% return of its benchmark, the Russell 3000® Index. For the twelve months ended June 30, 2018, the Account returned 14.20%, versus 14.78% for the index. (All returns for the Account are for Class R1.)

For the six-month period, the Account’s return underperformed that of its benchmark index due to the effect of expenses. The Account’s return includes a deduction for expenses, while the benchmark’s does not. The Account had a risk profile similar to that of its benchmark.

During the six-month period, the U.S. economy continued to grow, while inflation remained moderate. Unemployment fell to 3.8% in May, its lowest level in 18 years, and ended the period at 4.0%. Consumers responded to strengthening wage growth, a robust labor market and federal tax cut legislation, driving strong retail sales growth late in the period. The Federal Reserve raised the federal funds target rate on two occasions during the period, increasing the key short-term interest-rate measure to 1.75%–2.00%. Core inflation, which includes all items except food and energy, rose 2.3% for the twelve months ended June 30, 2018. The price of oil increased, and the U.S. dollar gained ground against most major currencies over the six months. The broad U.S. stock market, as measured by the Russell 3000 Index, advanced 3.22%. Growth stocks outperformed value shares by a wide margin, and small caps surpassed mid- and large-cap equities for the period. (Returns by investment style and capitalization size are based on the Russell indexes.)

 

Six of eleven sectors posted gains

 

Six of the eleven industry sectors in the Account’s benchmark posted positive performance for the six months. Information technology (up 11.1%)—the largest sector in the benchmark—and consumer discretionary (up 10.2%) contributed most to the index’s return. Energy (up 7.5%) and health care (up 3.5%) also produced solid gains. Together, these four sectors represented more than one-half of the total market capitalization of the index on June 30, 2018. Real estate (up 1.4%) and utilities (up 1.0%) also advanced, but they had minimal impact on the benchmark’s performance given their low weight. Consumer staples (down 8.0%) and telecommunication services (down 8.0%) were the worst performers during the period.

For the six-month period, four of the benchmark’s five largest stocks outperformed the benchmark’s overall return. Amazon.com performed best with sizable double-digit gains, followed by Microsoft. Apple was next in line, rising on strong revenue growth in its iPhone and wearables products. Facebook also posted solid results. Berkshire Hathaway, the conglomerate headed by Warren Buffet, suffered a loss, largely due to the implementation of a new accounting rule.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 19
 

CREF Equity Index Account

 

Performance as of June 30, 2018                
                
CREF Equity Index Account  Total return   Average annual
total return
   Estimated
annual
operating
 
   Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  4/29/1994   2.99%   14.20%   12.74%   9.76%   0.505%
Class R2  4/24/2015   3.09    14.45    12.92   9.85   0.295 
Class R3  4/24/2015   3.11    14.51    12.99   9.88   0.230 
Russell 3000® Index     3.22    14.78    13.29    10.23     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the Account’s current prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.

 

Expense example                  
                   
Six months ended June 30, 2018                  
    Beginning     Ending     Expenses paid  
    account value     account value     during period *
CREF Equity Index Account   (1/1/18 )   (6/30/18 )   (1/1/18–6/30/18 )
Actual return                  
Class R1   $1,000.00     $1,029.93     $2.32  
Class R2   1,000.00     1,030.90     1.36  
Class R3   1,000.00     1,031.08     1.16  
5% annual hypothetical return                  
Class R1   1,000.00     1,022.51     2.31  
Class R2   1,000.00     1,023.46     1.35  
Class R3   1,000.00     1,023.65     1.15  

 

* “Expenses paid during period” is based on the Account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average Account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2018. The Account’s annualized six-month expense ratios for that period were 0.46% for Class R1, 0.27% for Class R2 and 0.23% for Class R3.

 

For more information about this expense example, please see page 9.

 

20 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Equity Index Account

 

Account profile  
  as of 6/30/2018
Net assets $19.21 billion
Portfolio turnover rate* 1%
Number of holdings 2,884
Weighted median market capitalization $64.02 billion
Price/earnings ratio (weighted 12-month trailing average) 25.15

 

* The portfolio turnover rate covers the six-month period from January 1, 2018–June 30, 2018 and is not annualized.
Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.

 

Portfolio composition  
  % of net assets
Sector as of 6/30/2018
Information technology 24.6
Financials 14.2
Health care 13.6
Consumer discretionary 13.1
Industrials 10.2
Consumer staples 6.2
Energy 6.0
Real estate 3.9
Materials 3.1
Utilities 2.9
Telecommunication services 1.8
Short-term investments, other assets & liabilities, net 0.4
Total 100.0
   
Holdings by company size  
  % of equity investments
Market capitalization as of 6/30/2018
More than $50 billion 56.4
More than $15 billion–$50 billion 21.3
More than $2 billion–$15 billion 18.7
$2 billion or less 3.6
Total 100.0


 

College Retirement Equities Fund  ■  2018 Semiannual Report 21
 

CREF Bond Market Account

 

Performance for the six months ended June 30, 2018

 

The CREF Bond Market Account returned –1.77% for the period, compared with the –1.62% return of its benchmark, the Bloomberg Barclays U.S. Aggregate Bond Index. For the twelve months ended June 30, 2018, the Account returned –0.48%, versus –0.40% for the index. (All returns for the Account are for Class R1.)

During the six-month period, the U.S. economy continued to grow, while inflation remained moderate. Unemployment fell to 3.8% in May, its lowest level in 18 years, and ended the period at 4.0%. Consumers responded to strengthening wage growth, a robust labor market and federal tax cut legislation, driving strong retail sales growth late in the period. Core inflation, which includes all items except food and energy, rose 2.3% for the twelve months ended June 30, 2018. The price of oil increased, and the U.S. dollar gained strength over the six months.

The Federal Reserve raised the federal funds target rate on two occasions during the period, increasing the key short-term interest-rate measure to 1.75%–2.00%. Fed policymakers indicated that they anticipate at least two more rate increases in 2018. Yields on shorter-term U.S. Treasury securities rose more than those on longer-term government bonds, reflecting possible concerns about the prospects for the pace of growth in the future (bond yields move in the opposite direction of prices). The European Central Bank decided to end its bond-buying program—intended to support the euro area economy—by the end of 2018, but it signaled that it would leave benchmark interest rates at their present levels until at least the summer of 2019.

 

Account slightly underperformed its benchmark

 

For the six-month period, nearly all of the sectors in the benchmark delivered negative returns. Corporate bonds, which accounted for 25.3% of the index’s total market capitalization on June 30, 2018, declined most with a return of –3.3%. Municipals, the benchmark’s smallest sector, were next, falling 2.4%. U.S. Treasuries, the largest index sector with a weight of 37.2%, returned –1.1%, while mortgage-backed securities (MBS) declined 1.0%. The only sector to register positive performance was asset-backed securities, with a marginal gain.

The Account trailed its benchmark during the period, largely due to the effect of expenses, but also to an overweight position in corporate bonds, which underperformed. An overweight position in the government credit sector also detracted from the Account’s relative performance versus the benchmark.

By comparison, the Account’s underweight position in U.S. Treasuries proved beneficial, as this sector underperformed during the period. The Account’s holdings of MBS also contributed to its relative performance, and yield curve positioning across the portfolio was generally beneficial.

 

22 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Bond Market Account

 

Performance as of June 30, 2018                
                
CREF Bond Market Account     Total return   Average annual
total return
   Estimated
annual
operating
 
   Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  3/1/1990   –1.77%   –0.48%   2.31%   3.52%   0.580%
Class R2  4/24/2015   –1.68    –0.26    2.48   3.60   0.370 
Class R3  4/24/2015   –1.66    –0.20    2.53   3.63   0.305 
Bloomberg Barclays U.S. Aggregate Bond Index     –1.62    –0.40    2.27    3.72      

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the Account’s current prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.

 

Expense example                  
                   
Six months ended June 30, 2018                  
    Beginning     Ending     Expenses paid  
    account value     account value     during period *
CREF Bond Market Account   (1/1/18 )   (6/30/18 )   (1/1/18–6/30/18 )
Actual return                  
Class R1   $1,000.00     $   982.30     $2.65  
Class R2   1,000.00     983.22     1.72  
Class R3   1,000.00     983.40     1.57  
5% annual hypothetical return                  
Class R1   1,000.00     1,022.12     2.71  
Class R2   1,000.00     1,023.06     1.76  
Class R3   1,000.00     1,023.21     1.61  

 

* “Expenses paid during period” is based on the Account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average Account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2018. The Account’s annualized six-month expense ratios for that period were 0.54% for Class R1, 0.35% for Class R2 and 0.32% for Class R3.

 

For more information about this expense example, please see page 9.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 23
 

CREF Bond Market Account

 

Account profile

 as of 6/30/2018
Net assets$13.37 billion
Portfolio turnover rate*  66%
Portfolio turnover rate, excluding mortgage dollar roll transactions*     56%
Number of issues  1,730
Option-adjusted duration  5.72 years
Average maturity  7.92 years
    
* The portfolio turnover rate covers the six-month period from January 1, 2018–June 30, 2018 and is not annualized.
Option-adjusted duration estimates how much the value of a bond portfolio would be affected by a change in prevailing interest rates, taking into account the options embedded in the individual securities. The longer a portfolio’s duration, the more sensitive it is to changes in interest rates.
Average maturity is a simple average of the maturities of all the bonds in an account’s portfolio. The maturity of a bond is the amount of time until the bond’s principal becomes due or payable.

 

Portfolio composition

  % of net assets
Sector as of 6/30/2018
Corporate bonds  22.8
U.S. Treasury securities  18.4
Mortgage-backed securities  17.5
Foreign government & corporate bonds denominated in U.S. dollars  14.2
Asset-backed securities  12.0
Commercial mortgage-backed securities 6.6
Municipal bonds  3.6
U.S. agency securities  1.7
Bank loan obligations  0.2
Preferred stock  0.1
Short-term investments, other assets & liabilities, net  2.9
Total  100.0

Holdings by maturity

  % of fixed-income investments
  (excluding short-term investments)
  as of 6/30/2018
Less than 1 year 5.2
1–3 years 18.6
3–5 years 18.8
5–10 years 42.2
Over 10 years 15.2
Total 100.0

 

Holdings by credit quality

% of fixed-income investments
(excluding short-term investments)
as of 6/30/2018
U.S. Treasury & U.S. agency securities* 38.5
Aaa/AAA 14.8
Aa/AA 7.4
A/A 13.3
Baa/BBB 21.1
Ba/BB 1.9
B/B 1.0
Below B/B 0.5
Non-rated 1.5
Total 100.0
   
* These securities are guaranteed by the full faith and credit of the U.S. government.

 

Credit quality ratings are based on the Bloomberg Barclays methodology, which uses the median rating of those compiled by the Moody’s, Standard & Poor’s and Fitch ratings agencies. If ratings are available from only two of these agencies, the lower rating is used. When only one rating is available, that one is used. These ratings are subject to change without notice.


 

24 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Inflation-Linked Bond Account

 

Performance for the six months ended June 30, 2018

 

The CREF Inflation-Linked Bond Account returned –0.05% for the period, compared with the 0.21% return of its benchmark, the Bloomberg Barclays U.S. Treasury Inflation Protected Securities (TIPS) 1–10 Year Index. For the twelve months ended June 30, 2018, the Account returned 1.00%, versus 1.45% for the index. (All returns for the Account are for Class R1.)

During the six-month period, the U.S. economy continued to grow, while inflation remained moderate. Unemployment fell to 3.8% in May, its lowest level in 18 years, and ended the period at 4.0%. Consumers responded to strengthening wage growth, a robust labor market and federal tax cut legislation, driving strong retail sales growth late in the period. Core inflation, which includes all items except food and energy, rose 2.3% for the twelve months ended June 30, 2018. The price of crude oil, a commonly used indicator of inflationary pressures, increased, and the U.S. dollar gained strength over the six months.

The Federal Reserve raised the federal funds target rate on two occasions during the period, increasing the key short-term interest-rate measure to 1.75%–2.00%. Fed policymakers indicated that they anticipate at least two more rate increases in 2018. Yields on shorter-term U.S. Treasury securities rose more than those on longer-term government bonds, reflecting possible concerns about the prospects for the pace of growth in the future (bond yields move in the opposite direction of prices). The European Central Bank decided to end its bond-buying program—intended to support the euro area economy—by the end of 2018, but it signaled that it would leave benchmark interest rates at their present levels until at least the summer of 2019.

 

TIPS outperformed the broader market

 

For the six months, the return of the TIPS 1–10 Year Index outpaced the –1.62% return of the broad domestic investment-grade fixed-rate bond market, as measured by the Bloomberg Barclays U.S. Aggregate Bond Index. Solid economic growth, rising interest rates and a modest increase in inflation led to declines among most fixed-income securities, particularly those with shorter maturities. By comparison, these conditions were more beneficial for inflation-protected securities.

The Account underperformed its benchmark primarily due to its expense charge. The Account’s return includes a deduction for expenses, while the benchmark’s return does not. Since the Account’s portfolio resembled the composition of its benchmark, the above discussion of the benchmark’s performance also applies to the Account’s performance.

During the period, the Account’s portfolio managers kept the Account’s duration—a measure of its sensitivity to interest-rate changes—close to that of the TIPS 1–10 Year Index. This strategy helped the Account’s risk and reward characteristics to more closely resemble those of its benchmark.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 25
 

CREF Inflation-Linked Bond Account

 

Performance as of June 30, 2018

CREF Inflation-Linked Bond Account    Total return  Average annual
total return
  Estimated
annual
operating
 
   Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  5/1/1997   –0.05%   1.00%   1.01%   2.44%   0.515%
Class R2  4/24/2015   0.05    1.22    1.18   2.53   0.305 
Class R3  4/24/2015   0.06    1.27    1.23   2.55   0.240 
Bloomberg Barclays U.S. Treasury Inflation Protected Securities (TIPS) 1–10 Year Index     0.21    1.45    1.21    2.26     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the Account’s current prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.

 

Expense example

 

Six months ended June 30, 2018

   Beginning   Ending   Expenses paid 
   account value   account value   during period*
CREF Inflation-Linked Bond Account  (1/1/18)  (6/30/18)  (1/1/18–6/30/18)
Actual return               
Class R1   $1,000.00    $   999.51    $ 2.33 
Class R2   1,000.00    1,000.45    1.39 
Class R3   1,000.00    1,000.63    1.19 
5% annual hypothetical return               
Class R1   1,000.00    1,022.46    2.36 
Class R2   1,000.00    1,023.41    1.40 
Class R3   1,000.00    1,023.60    1.20 
   
* “Expenses paid during period” is based on the Account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average Account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2018. The Account’s annualized six-month expense ratios for that period were 0.47% for Class R1, 0.28% for Class R2 and 0.24% for Class R3.

 

For more information about this expense example, please see page 9.

 

26 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Inflation-Linked Bond Account

 

Account profile

 as of 6/30/2018
Net assets   $6.47 billion
Portfolio turnover rate*   14%
Number of issues   36
Option-adjusted duration   5.11 years
Average maturity   5.44 years
   
* The portfolio turnover rate covers the six-month period from January 1, 2018–June 30, 2018 and is not annualized.
Option-adjusted duration estimates how much the value of a bond portfolio would be affected by a change in prevailing interest rates, taking into account the options embedded in the individual securities. The longer a portfolio’s duration, the more sensitive it is to changes in interest rates.
Average maturity is a simple average of the maturities of all the bonds in an account’s portfolio. The maturity of a bond is the amount of time until the bond’s principal becomes due or payable.

 

Portfolio composition

  % of net assets
Sector as of 6/30/2018
U.S. Treasury securities 98.6
U.S. agency securities 0.6
Mortgage-backed securities 0.2
Foreign government & corporate bonds denominated in U.S. dollars 0.1
Short-term investments, other assets & liabilities, net 0.5
Total 100.0

Holdings by maturity

  % of fixed-income investments
  (excluding short-term investments)
  as of 6/30/2018
1–3 years 23.7
3–5 years 29.3
5–10 years 40.3
Over 10 years 6.7
Total 100.0

 

Holdings by credit quality

% of fixed-income investments
(excluding short-term investments)
as of 6/30/2018
U.S. Treasury & U.S. agency securities* 99.7
Aa/AA 0.2
Non-rated 0.1
Total 100.0
   
* These securities are guaranteed by the full faith and credit of the U.S. government.

 

Credit quality ratings are based on the Bloomberg Barclays methodology, which uses the median rating of those compiled by the Moody’s, Standard & Poor’s and Fitch ratings agencies. If ratings are available from only two of these agencies, the lower rating is used. When only one rating is available, that one is used. These ratings are subject to change without notice.


 

College Retirement Equities Fund  ■  2018 Semiannual Report 27
 

CREF Social Choice Account

 

Performance for the six months ended June 30, 2018

 

The CREF Social Choice Account returned –0.03% for the period, compared with the 0.26% return of its composite benchmark, a weighted average of the Russell 3000® Index, the MSCI EAFE+Canada Index and the Bloomberg Barclays U.S. Aggregate Bond Index. For the twelve months ended June 30, 2018, the Account returned 6.53%, versus 7.22% for the benchmark. The Account utilizes environmental, social and governance (ESG) criteria, while the benchmark does not. (All returns for the Account are for Class R1.)

Because of its ESG criteria, the Account did not invest in a number of stocks and bonds that were included in the indexes that comprise its composite benchmark. Avoiding these investments produced mixed results, but the net effect was that the Account underperformed its benchmark.

The Account’s domestic holdings underperformed the Russell 3000 Index component of its benchmark. Avoiding Amazon.com, software company Adobe Systems and Facebook detracted from relative performance. Conversely, the Account benefited from excluding certain stocks, notably AT&T, Philip Morris and Comcast. The Account’s international holdings outperformed the MSCI EAFE+Canada Index. Excluding British American Tobacco, Japanese financial services company Mitsubishi UFJ and Germany’s Deutsche Bank aided relative performance. Avoiding energy companies Royal Dutch Shell and BP and French luxury products company LVMH detracted.

 

Account underperformed its benchmark

 

To compensate for the Account’s exclusion of some stocks, its managers use quantitative (mathematical) modeling and other techniques in an attempt to match the overall investment characteristics of the portfolio with those of its composite benchmark.

Among the Account’s domestic holdings, an underweight investment in Apple and overweight positions in cable television and Internet service provider Charter Communications and Kraft Heinz were the main detractors from performance versus the Russell 3000 Index. The top domestic equity contributors were overweight positions in Netflix, technology company salesforce.com and Nike.

Within the Account’s international holdings, an underweight position in Nestlé and overweight positions in British telecommunications firm Sky and French luxury goods company Kering contributed most to outperformance versus the MSCI EAFE+Canada Index. Key detractors were an overweight investment in German lighting products provider OSRAM Licht, an underweight in Australian biopharmaceutical firm CSL and an overweight position in Japan’s Takeda Pharmaceutical.

The Account’s fixed-income component outperformed the –1.62% return of the Bloomberg Barclays U.S. Aggregate Bond Index primarily as a result of underweights to Treasuries and mortgage-backed securities, as well as security selection within the corporate sector.

 

28 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Social Choice Account

 

Performance as of June 30, 2018

CREF Social Choice Account  Total return  Average annual
 total return
  Estimated annual
operating
 
   Inception date  6 months   1 year   5 years   10 years   Expenses*
Class R1  3/1/1990   –0.03%   6.53%   7.09%   6.58%   0.540%
Class R2  4/24/2015   0.06    6.76    7.26   6.67   0.330 
Class R3  4/24/2015   0.08    6.82    7.32   6.70   0.265 
CREF Social Choice Composite Benchmark     0.26    7.22    7.82    6.84     
Broad market indexes                            
Morningstar Moderate Target Risk Index§     –0.31    6.92    6.92    6.28      
Russell 3000® Index     3.22    14.78    13.29    10.23      

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the Account’s current prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.
On June 30, 2018, the CREF Social Choice Composite Benchmark consisted of: 42.0% Russell 3000 Index; 40.0% Bloomberg Barclays U.S. Aggregate Bond Index; and 18.0% MSCI EAFE+Canada Index. The Account’s benchmark, the components that make up the composite benchmark and the method of calculating the composite benchmark’s performance may vary over time.
§ On May 1, 2018, the Morningstar Moderate Target Risk Index was added as an additional broad-based securities market index for the Social Choice Account. For more information, please see the Account’s current prospectus.

 

Expense example

 

Six months ended June 30, 2018

   Beginning   Ending   Expenses paid 
   account value   account value   during period*
CREF Social Choice Account  (1/1/18)  (6/30/18)  (1/1/18–6/30/18)
Actual return               
Class R1   $ 1,000.00    $   999.66   $ 2.43 
Class R2   1,000.00    1,000.60    1.49 
Class R3   1,000.00    1,000.78    1.29 
5% annual hypothetical return               
Class R1   1,000.00    1,022.36    2.46 
Class R2   1,000.00    1,023.31    1.51 
Class R3   1,000.00    1,023.51    1.30 
                
* “Expenses paid during period” is based on the Account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average Account value over the six-month period, multiplied by 181/365. There
   
College Retirement Equities Fund  ■  2018 Semiannual Report 29
 

CREF Social Choice Account

 

  were 181 days in the six months ended June 30, 2018. The Account’s annualized six-month expense ratios for that period were 0.49% for Class R1, 0.30% for Class R2 and 0.26% for Class R3.

 

For more information about this expense example, please see page 9.

 

Account profile

as of 6/30/2018
Net assets   $13.98 billion
Portfolio turnover rate*   35%
Portfolio turnover rate, excluding mortgage dollar roll transactions*   32%
Equity segment    
Number of holdings   1,921
Weighted median market capitalization   $40.54 billion
Price/earnings ratio (weighted 12-month trailing average)   23.30
Fixed-income segment    
Number of issues   766
Option-adjusted duration   5.80 years
Average maturity§   9.30 years
   
* The portfolio turnover rate covers the six-month period from January 1, 2018–June 30, 2018 and is not annualized.
Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.
Option-adjusted duration estimates how much the value of a bond portfolio would be affected by a change in prevailing interest rates, taking into account the options embedded in the individual securities. The longer a portfolio’s duration, the more sensitive it is to changes in interest rates.
§ Average maturity is a simple average of the maturities of all the bonds in an account’s portfolio. The maturity of a bond is the amount of time until the bond’s principal becomes due or payable.

Portfolio composition

  % of net assets
Sector as of 6/30/2018
Equities 59.2
Fixed-income securities 39.8
Short-term investments, other assets & liabilities, net 1.0
Total 100.0

 

Holdings by company size

% of equity investments
Market capitalization as of 6/30/2018
More than $50 billion 40.5
More than $15 billion–$50 billion 39.1
More than $2 billion–$15 billion 18.3
$2 billion or less 2.1
Total 100.0

 

Holdings by maturity

% of fixed-income investments
(excluding short-term investments)
  as of 6/30/2018
Less than 1 year 4.2
1–3 years 12.6
3–5 years 19.8
5–10 years 39.9
Over 10 years 23.5
Total 100.0


 

30 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Money Market Account

 

Performance for the six months ended June 30, 2018

 

The CREF Money Market Account returned 0.41% for the six-month period, compared with the 0.57% return of the iMoneyNet Money Fund Averages™—All Government, a simple average of over 500 money market funds that invest in short-term U.S. government securities. The iMoneyNet average is not an index, and its return reflects the deduction of expenses charged by the funds included in the average. (All returns for the Account are for Class R1.)

During the six-month period, the U.S. economy continued to grow, while inflation remained moderate. Unemployment fell to 3.8% in May, its lowest level in 18 years, and ended the period at 4.0%. Consumers responded to strengthening wage growth, a robust labor market and federal tax cut legislation, driving strong retail sales growth late in the period. Core inflation, which includes all items except food and energy, rose 2.3% for the twelve months ended June 30, 2018.

The Federal Reserve raised the federal funds target rate on two occasions during the period, increasing the key short-term interest-rate measure to 1.75%–2.00%. Fed policymakers indicated that they anticipate at least two more rate increases in 2018. Yields on shorter-term U.S. Treasury securities rose more than those on longer-term government bonds, reflecting possible concerns about the prospects for the pace of growth in the future (bond yields move in the opposite direction of prices).

As a result of the Fed’s actions and signals, yields on LIBOR—a key interest-rate benchmark for money market funds—continued to rise. For the six-month period, one-month LIBOR yields rose from 1.56% on January 2, 2018, to 2.09% on June 29, 2018. Over the same period, three-month LIBOR rose from 1.70% to 2.34%; six-month LIBOR rose from 1.84% to 2.50%; and twelve-month LIBOR rose from 2.11% to 2.76%. (LIBOR is an indication of the interest rates that banks expect to pay to other banks for loans on the London market and is the most widely used benchmark for short-term rates.)

 

Account gained but trailed the iMoneyNet average

 

In this environment of rising interest rates, the return of the Money Market Account lagged that of the iMoneyNet government fund average for the six-month period, primarily due to the effect of expenses. In pursuit of additional yield, the Account increased its exposure to longer-dated floating-rate government agency securities, which benefited performance as short-term rates increased. As of June 26, 2018, the Account’s weighted average maturity (WAM) was 46 days, versus 31 days for the iMoneyNet government fund average, and this longer WAM also benefited the Account’s relative performance. (iMoneyNet releases their data on a weekly basis, and June 26 was the last date of release for the month.)

 

College Retirement Equities Fund  ■  2018 Semiannual Report 31
 

CREF Money Market Account

 

Net annualized yield for the 7 days ended June 26, 2018§

   Current yield   Effective yield 
CREF Money Market Account#          
Class R1   1.15%   1.15%
Class R2   1.23    1.24 
Class R3   1.22    1.23 
iMoneyNet Money Fund Averages™—All Government   1.43    1.44 

 

The current yield more closely reflects current earnings than does the total return.

 

§ Typically, iMoneyNet reports its 7-day yields as of Tuesday of each week.

 

Performance as of June 30, 2018

 

CREF Money Market Account#     Total return  Average annual
total return
  Estimated
annual
operating
 
   Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  4/1/1988   0.41%   0.62%   0.13%   0.19%   0.510%
Class R2  4/24/2015   0.49    0.79    0.20   0.22   0.300 
Class R3  4/24/2015   0.50    0.82    0.23   0.23   0.235 
iMoneyNet Money Fund Averages—All Government     0.57    0.89    0.23    0.18     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You could lose money by investing in the Money Market Account. Because the accumulation unit value of the Account will fluctuate, the value of your investment may increase or decrease. An investment in the Account is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The Account’s sponsor has no legal obligation to provide support to the Account, and you should not expect that the sponsor will provide financial support to the Account at any time. The current yield more closely reflects current earnings than does the total return.

 

Note: Unlike most money market funds, the CREF Money Market Account does not distribute income on a daily basis. Therefore, the Account does not maintain a constant value of $1.00 per accumulation unit.

 

# Between July 16, 2009, and March 7, 2017, TIAA agreed to voluntarily withhold (“waive”) a portion of the 12b-1 distribution and/or administrative expenses for each class of the CREF Money Market Account when a class’s yield was less than zero. Without this waiver, the effective yields and total returns of the Money Market Account would have been lower. TIAA may, for a period of three years after the date an amount was waived, recover from the Money Market Account a portion of the amounts waived at such time as the class’ daily yield would be positive absent the effect of the waiver, and in such event the amount of recovery on any day will be approximately 25% of the class’ yield (net of all other expenses) on that day. As a result of the share class conversion on April 24, 2015, previously recoverable amounts have been allocated to the various classes.
* The estimated annual operating expenses are taken from the Account’s current prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.
The iMoneyNet Money Fund Averages—All Government is a simple average of over 500 money market funds that invest in U.S. Treasuries, U.S. agencies, repurchase agreements and government-backed floating rate notes, and you cannot invest directly in it.
   
32 2018 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Money Market Account

 

Expense example

 

Six months ended June 30, 2018

   Beginning   Ending   Expenses paid 
   account value   account value   during period*
CREF Money Market Account  (1/1/18)  (6/30/18)  (1/1/18–6/30/18)
Actual return               
Class R1   $ 1,000.00    $ 1,004.14    $ 3.73 
Class R2   1,000.00    1,004.86    3.03 
Class R3   1,000.00    1,005.00    2.88 
5% annual hypothetical return               
Class R1   1,000.00    1,021.08    3.76 
Class R2   1,000.00    1,021.77    3.06 
Class R3   1,000.00    1,021.92    2.91 
   
* “Expenses paid during period” is based on the Account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average Account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2018. The Account’s annualized six-month expense ratios for that period were 0.75% for Class R1, 0.61% for Class R2 and 0.58% for Class R3.

 

For more information about this expense example, please see page 9.

 

Account profile

  as of 6/30/2018
Net assets $9.44 billion
Number of holdings 230

Portfolio composition

  % of net assets
Sector as of 6/30/2018
U.S. government agency securities 60.3
U.S. Treasury securities 21.6
Floating-rate securities, government 18.1
Total 100.0


 

College Retirement Equities Fund  ■  2018 Semiannual Report 33
 

Summary portfolio of investments (unaudited)

 

CREF Stock Account  ■  June 30, 2018

 

            Value   % of net  
Principal     Issuer     (000)   assets  
BONDS                     
CORPORATE BONDS             
DIVERSIFIED FINANCIALS     $0^   0.0%
         TOTAL CORPORATE BONDS  (Cost $466)   0^   0.0 
                       
GOVERNMENT BONDS               
U.S. TREASURY SECURITIES        290    0.0 
         TOTAL GOVERNMENT BONDS  (Cost $302)   290    0.0 
         TOTAL BONDS (Cost $768)      290    0.0 
                       
EQUITY LINKED NOTES             
DIVERSIFIED FINANCIALS      10,759    0.0 
         TOTAL EQUITY LINKED NOTES  (Cost $10,877)   10,759    0.0 
                       
 Shares     Company               
COMMON STOCKS             
AUTOMOBILES & COMPONENTS      2,132,829    1.7 
BANKS               
 31,693,894     Bank of America Corp      893,451    0.7 
 10,239,190  n  Citigroup, Inc      685,207    0.6 
 12,609,260     JPMorgan Chase & Co      1,313,885    1.1 
 10,705,400     Wells Fargo & Co      593,507    0.5 
       Other        6,551,290    5.3 
                10,037,340    8.2 
CAPITAL GOODS               
 1,805,716     Boeing Co        605,836    0.5 
 4,085,956     Honeywell International, Inc      588,582    0.5 
       Other        8,102,843    6.6 
                9,297,261    7.6 
COMMERCIAL & PROFESSIONAL SERVICES      1,272,799    1.0 
CONSUMER DURABLES & APPAREL      2,408,583    2.0 
CONSUMER SERVICES      2,661,030    2.2 
DIVERSIFIED FINANCIALS             
 2,429,809  n  Goldman Sachs Group, Inc      535,943    0.4 
       Other        4,127,243    3.4 
                4,663,186    3.8 
ENERGY             
 5,672,660     Chevron Corp        717,195    0.6 
 4,327,099     EOG Resources, Inc      538,421    0.4 
 9,484,291     Exxon Mobil Corp      784,635    0.7 
       Other        5,980,671    4.9 
                8,020,922    6.6 
FOOD & STAPLES RETAILING      1,268,583    1.0 

 

34 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Stock Account  ■  June 30, 2018

 

           Value    % of net 
 Shares     Company   (000)    assets 
FOOD, BEVERAGE & TOBACCO          
 12,005,308  n  Coca-Cola Co  $526,553    0.4%
 3,160,333     PepsiCo, Inc   344,065    0.3 
 5,762,990     Philip Morris International, Inc   465,304    0.4 
       Other   3,951,987    3.2 
           5,287,909    4.3 
HEALTH CARE EQUIPMENT & SERVICES          
 8,100,527     Abbott Laboratories   494,051    0.4 
 2,809,942     UnitedHealth Group, Inc   689,391    0.6 
       Other   4,796,577    3.9 
           5,980,019    4.9 
HOUSEHOLD & PERSONAL PRODUCTS          
 5,866,424  n  Procter & Gamble Co   457,933    0.4 
       Other   1,201,283    1.0 
           1,659,216    1.4 
INSURANCE          
 7,702,427     American International Group, Inc   408,383    0.3 
 4,448,253  *  Berkshire Hathaway, Inc (Class B)   830,266    0.7 
       Other   3,465,300    2.8 
           4,703,949    3.8 
 MATERIALS                
 7,707,317     DowDuPont, Inc   508,066    0.4 
       Other   5,748,164    4.7 
           6,256,230    5.1 
MEDIA          
 16,121,048     Comcast Corp (Class A)   528,932    0.4 
 3,815,585     Walt Disney Co   399,911    0.3 
       Other   1,443,633    1.2 
           2,372,476    1.9 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES          
 4,125,890     AbbVie, Inc   382,264    0.3 
 2,319,311     Allergan plc   386,676    0.3 
 6,889,091     Johnson & Johnson   835,922    0.7 
 17,390,417     Pfizer, Inc   630,924    0.5 
 7,675,271     Schering-Plough Corp   465,889    0.4 
       Other   5,717,725    4.7 
           8,419,400    6.9 
REAL ESTATE   4,342,495    3.6 
 RETAILING                
 1,300,480  *  Amazon.com, Inc   2,210,556    1.8 
 3,670,801     Home Depot, Inc   716,173    0.6 
 1,129,998  *,n  NetFlix, Inc   442,315    0.4 
       Other   3,006,323    2.4 
           6,375,367    5.2 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 35
 
Summary portfolio of investments (unaudited) continued

 

CREF Stock Account  ■  June 30, 2018

 

             Value     % of net  
Shares      Company     (000)     assets  
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT             
 1,767,336  n  Broadcom, Inc     $428,827    0.4%
 12,396,903     Intel Corp      616,250    0.5 
 1,801,752     NVIDIA Corp      426,835    0.3 
       Other      2,936,117    2.4 
              4,408,029    3.6 
SOFTWARE & SERVICES             
 2,216,856  *  Alibaba Group Holding Ltd (ADR)      411,293    0.3 
 768,105  *  Alphabet, Inc (Class A)      867,336    0.7 
 1,051,531  *  Alphabet, Inc (Class C)      1,173,141    1.0 
 6,903,240  *  Facebook, Inc      1,341,438    1.1 
 2,811,973     MasterCard, Inc (Class A)      552,609    0.5 
 20,292,383  n  Microsoft Corp      2,001,032    1.6 
 7,976,973     Oracle Corp      351,465    0.3 
 5,718,068  *  PayPal Holdings, Inc      476,143    0.4 
 5,791,265  *  salesforce.com, Inc      789,929    0.6 
 10,080,976     Tencent Holdings Ltd      506,220    0.4 
 6,416,594     Visa, Inc (Class A)      849,878    0.7 
       Other      6,697,123    5.5 
              16,017,607    13.1 
TECHNOLOGY HARDWARE & EQUIPMENT             
 13,347,611  d,n  Apple, Inc      2,470,776    2.0 
 20,006,855     Cisco Systems, Inc      860,895    0.7 
       Other      2,596,446    2.1 
              5,928,117    4.8 
TELECOMMUNICATION SERVICES             
 16,774,882     AT&T, Inc      538,641    0.4 
 9,521,000     Verizon Communications, Inc      479,002    0.4 
       Other      1,296,022    1.1 
              2,313,665    1.9 
TRANSPORTATION             
 3,206,301     Union Pacific Corp      454,269    0.4 
       Other      2,119,378    1.7 
              2,573,647    2.1 
 UTILITIES            3,173,405    2.6 
       TOTAL COMMON STOCKS  (Cost $107,128,473)   121,574,064    99.3 
                     
PURCHASED OPTIONS             
AUTOMOBILES & COMPONENTS      76    0.0 
BANKS      2    0.0 
CONSUMER SERVICES      7    0.0 
DIVERSIFIED FINANCIALS      16    0.0 

 

36 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Stock Account  ■  June 30, 2018

 

             Value     % of net  
Shares      Company     (000)     assets  
FOOD, BEVERAGE & TOBACCO     $16    0.0%
MATERIALS      3    0.0 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT      452    0.0 
SOFTWARE & SERVICES      66    0.0 
TECHNOLOGY HARDWARE & EQUIPMENT      27    0.0 
       TOTAL PURCHASED OPTIONS  (Cost $1,510)   665    0.0 
PREFERRED STOCKS             
CAPITAL GOODS      489    0.0 
DIVERSIFIED FINANCIALS      2,191    0.0 
REAL ESTATE      16    0.0 
       TOTAL PREFERRED STOCKS  (Cost $4,209)   2,696    0.0 
RIGHTS / WARRANTS             
CAPITAL GOODS      6    0.0 
CONSUMER DURABLES & APPAREL      174    0.0 
ENERGY      1,035    0.0 
HEALTH CARE EQUIPMENT & SERVICES      2    0.0 
MATERIALS      4    0.0 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES      65    0.0 
REAL ESTATE      50    0.0 
SOFTWARE & SERVICES      1    0.0 
       TOTAL RIGHTS / WARRANTS  (Cost $1,219)   1,337    0.0 
                     
 Principal     Issuer               
SHORT-TERM INVESTMENTS             
 TREASURY DEBT                   
$398,160,000     United States Treasury Bill  1.789%, 08/16/18   397,253    0.3 
       Other      423,274    0.4 
              820,527    0.7 
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED             
GOVERNMENT AGENCY DEBT      109,995    0.1 
REPURCHASE AGREEMENT             
 595,000,000  r  NatWest Markets  1.930%, 07/05/18   595,000    0.5 
    s  Other Repurchase Agreements  1.950%–2.120%, 07/02/18–07/06/18   1,285,828    1.0 
              1,880,828    1.5 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 37
 
Summary portfolio of investments (unaudited) continued

 

CREF Stock Account  ■  June 30, 2018

 

             Value   % of net 
 Principal     Issuer     (000)   assets 
VARIABLE RATE SECURITIES     $29,144    0.0%
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED      2,019,967    1.6 
       TOTAL SHORT-TERM INVESTMENTS  (Cost $2,840,450)   2,840,494    2.3 
                  
       TOTAL PORTFOLIO  (Cost $109,987,506)   124,430,305    101.6 
       OTHER ASSETS & LIABILITIES, NET      (2,015,225)   (1.6)
       NET ASSETS     $122,415,080    100.0%

 

 

 

Abbreviation(s):

ADR American Depositary Receipt

 

* Non-income producing
^ Amount represents less than $1,000.
d All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
n All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts.
r Agreement with NatWest Markets, 1.93% dated 6/28/18 to be repurchased at $595,000,000 on 7/05/18, collateralized by U.S. Government Agency Securities valued at $606,902,000.
s Agreements 1.95%–2.12% dated 6/29/18 to be repurchased at $1,285,828,000 on 7/02/18–7/06/18, collateralized by U.S. Government Agency Securities valued at $1,311,556,000.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/18, the aggregate value of securities on loan is $2,288,975,000.

 

At 6/30/18, the aggregate value of securities exempt from registration under Rule 144(A) of the Securities Act of 1933 amounted to $695,132,000 or 0.6% of net assets. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments.

 

Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

38 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Stock Account  ■  June 30, 2018

 

Futures contracts outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (See Note 3):

 

   Number of               Unrealized 
   long (short)   Expiration   Notional       appreciation 
Description  contracts   date   amount   Value   (depreciation) 
Russell 2000 E Mini Index   160    9/21/18   $13,545   $13,180           $(365)
S&P 500 E Mini Index   1,023    9/21/18    141,338    139,210    (2,128)
S&P Mid-Cap 400 E Mini Index   88    9/21/18    17,594    17,214    (380)
Total   1,271        $172,477   $169,604   $(2,873)

 

Purchased options outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (See Note 3):

 

   Number of  Notional   Exercise   Expiration    
Description/underlying investment  contracts  amount   price   date  Value 
Apple, Inc, Call  25    $28    $190.00   1/18/19   $27 
Broadcom Ltd, Call  20   43    280.00   1/18/19   16 
Chicago Board Options Exchange SPX Volatility Index, Call  12   3    18.00   9/19/18   3 
Chicago Board Options Exchange SPX Volatility Index, Call  10   1    21.00   9/19/18   2 
Citigroup, Inc, Call  20   12    80.00   1/18/19   2 
Coca-Cola Co, Call  30   3    44.00   1/18/19   6 
Goldman Sachs Group, Inc, Put  25   10    210.00   9/21/18   11 
Kraft Heinz Co, Call  24   6    62.50   1/18/19   10 
McDonald’s Corp, Put  30   8    152.50   8/3/18   8 
Microsoft Corp, Call  30   9    105.00   10/19/18   7 
Microsoft Corp, Call  20   12    100.00   1/18/19   12 
QUALCOMM, Inc, Call  9,440   1,289    60.00   7/20/18   425 
QUALCOMM, Inc, Call  20   6    60.00   9/21/18   4 
QUALCOMM, Inc, Put  30   13    50.00   1/18/19   7 
salesforce.com, Inc, Call  20   26    120.00   1/18/19   46 
Tesla, Inc, Call  10   32    300.00   1/18/19   77 
Tronox Ltd, Call  30   9    23.00   8/17/18   2 
Total  9,796  $1,510           $665 

 

Written options outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (See Note 3):

 

   Number of  Notional   Exercise   Expiration    
Description/underlying investment  contracts  amount   price   date  Value 
American Express Co, Call  30     $(1)  $105.00   6/29/18  $ (0)^
Apple, Inc, Call  50   (28)   210.00   1/18/19   (21)
Bristol-Myers Squibb Co, Put  40   (12)   55.00   9/21/18   (9)
Broadcom Ltd, Call  20   (19)   320.00   1/18/19   (4)
Broadcom Ltd, Put  20   (23)   220.00   1/18/19   (22)
Chicago Board Options Exchange SPX Volatility Index, Call  5   (1)   16.00   9/19/18   (1)
Chicago Board Options Exchange SPX Volatility Index, Call  22   (1)   30.00   9/19/18   (2)
Chicago Board Options Exchange SPX Volatility Index, Put  15   (1)   13.00   9/19/18   (1)
Chipotle Mexican Grill, Inc, Call  5   (1)   530.00   7/6/18   (0)^
Citigroup, Inc, Call  60   (11)   95.00   1/18/19   (1)
Citigroup, Inc, Put  30   (6)   55.00   1/18/19   (3)
Coca-Cola Co, Call  30   (1)   49.00   1/18/19   (1)
Coca-Cola Co, Put  30   (3)   38.00   1/18/19   (1)
ConAgra Brands, Inc, Put  50   (1)   33.00   8/17/18   (1)

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 39
 
Summary portfolio of investments (unaudited) continued

 

CREF Stock Account  ■  June 30, 2018

 

   Number of  Notional   Exercise   Expiration    
Description/underlying investment  contracts  amount   price   date  Value 
Foot Locker, Inc, Call  30  $(1)  $65.00   7/20/18  $ (0)^
Foot Locker, Inc, Put  30   (1)   50.00   7/20/18   (3)
General Electric Co, Put  50   (4)   13.00   12/21/18   (4)
Goldman Sachs Group, Inc, Call  25   (2)   275.00   9/21/18   (1)
Goldman Sachs Group, Inc, Put  50   (9)   195.00   9/21/18   (10)
Kraft Heinz Co, Call  24   (2)   70.00   1/18/19   (3)
Kraft Heinz Co, Put  30   (4)   50.00   1/18/19   (2)
McDonald’s Corp, Call  30   (2)   170.00   8/3/18   (3)
McDonald’s Corp, Put  30   (6)   150.00   8/3/18   (6)
Micron Technology, Inc, Put  40   (1)   49.50   7/6/18   (1)
Microsoft Corp, Call  30   (4)   110.00   10/19/18   (4)
Microsoft Corp, Call  30   (2)   115.00   10/19/18   (2)
Microsoft Corp, Call  40   (8)   115.00   1/18/19   (6)
Microsoft Corp, Put  4,000   (115)   90.00   6/29/18   (16)
Microsoft Corp, Put  4,500   (164)   91.00   6/29/18   (9)
Microsoft Corp, Put  4,000   (175)   92.00   6/29/18   (8)
Microsoft Corp, Put  500   (27)   93.00   6/29/18   (2)
Microsoft Corp, Put  30   (1)   87.50   7/20/18   (1)
Microsoft Corp, Put  30   (3)   85.00   10/19/18   (3)
Microsoft Corp, Put  20   (3)   70.00   1/18/19   (1)
NetFlix, Inc, Call  10   (1)   450.00   7/6/18   (0)^
NetFlix, Inc, Put  5   (0)^    330.00   7/6/18   (0)^
Penn National Gaming, Inc, Put  500   (31)   30.00   8/17/18   (32)
Philip Morris International, Inc, Put  20   (9)   85.00   9/21/18   (12)
Pinnacle Foods, Inc, Call  20   (1)   80.00   9/21/18   (0)^
Procter & Gamble Co, Put  30   (1)   67.50   7/20/18   (0)^
QUALCOMM, Inc, Call  9,440   (334)   65.00   7/20/18   (94)
QUALCOMM, Inc, Call  20   (2)   65.00   9/21/18   (2)
QUALCOMM, Inc, Put  9,470   (572)   50.00   7/20/18   (256)
QUALCOMM, Inc, Put  30   (2)   50.00   9/21/18   (4)
QUALCOMM, Inc, Put  30   (4)   40.00   1/18/19   (2)
QUALCOMM, Inc, Put  30   (8)   45.00   1/18/19   (4)
Red Hat, Inc, Call  20   (1)   200.00   7/20/18   (0)^
Red Hat, Inc, Put  150   (92)   140.00   9/21/18   (154)
S&P 500 Index, Put  50   (334)   2,350.00   9/21/18   (50)
salesforce.com, Inc, Call  20   (13)   135.00   1/18/19   (26)
salesforce.com, Inc, Call  20   (8)   145.00   1/18/19   (17)
salesforce.com, Inc, Put  20   (7)   95.00   1/18/19   (2)
Tesla, Inc, Call  20   (34)   360.00   1/18/19   (94)
Tronox Ltd, Call  30   (4)   33.00   8/17/18   (0)^
Tronox Ltd, Put  30   (5)   15.00   8/17/18   (1)
Walmart, Inc, Put  40   (2)   70.00   7/20/18   (0)^
Wynn Resorts Ltd, Put  20   (3)   160.00   7/20/18   (4)
Wynn Resorts Ltd, Put  200   (92)   155.00   8/17/18   (83)
Total  34,151  $(2,203)          $(989)

 

^ Amount represents less than $1,000.

 

40 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) concluded

 

CREF Stock Account  ■  June 30, 2018

 

Forward foreign currency contracts outstanding as of June 30, 2018 were as follows (dollar amounts are in thousands) (See Note 3):

 

Currency     Currency           Unrealized 
to be     to be           appreciation 
purchased  Receive  sold  Deliver  Counterparty  Settlement date  (depreciation) 
$ 8,996  CAD  11,600  Bank of America  7/3/2018               $172 
$ 13,103  GBP  9,300  Bank of America  7/3/2018   828 
$ 3,962  GBP  3,000  Bank of America  10/2/2018   (14)
AUD  3,250  $  2,488  Bank of America  7/3/2018   (82)
CHF  3,100  $  3,271  Bank of America  7/3/2018   (140)
Total                 $764 
$  3,036  CAD  4,000  Morgan Stanley  10/2/2018  $(11)
HKD  31,000  $  3,961  Morgan Stanley  7/3/2018   (10)
EUR  4,900  $  6,070  Morgan Stanley  7/3/2018   (347)
EUR  6,000  $  7,032  Morgan Stanley  10/2/2018   24 
Total                 $(344)
Total                 $420 

 

Abbreviation(s):

 

AUD Australian Dollar

CAD Canadian Dollar

CHF Swiss Franc

EUR Euro

GBP Pound Sterling

HKD Hong Kong Dollar

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 41
 

Summary of market values by country (unaudited)

 

CREF Stock Account  ■  June 30, 2018

 

Country  Value
(000)
   % of
total
portfolio
 
DOMESTIC          
UNITED STATES  $87,182,820    70.1%
TOTAL DOMESTIC   87,182,820    70.1 
           
FOREIGN          
ARGENTINA   16,936    0.0 
AUSTRALIA   1,614,128    1.3 
AUSTRIA   221,009    0.2 
BELGIUM   143,885    0.1 
BERMUDA   88,166    0.1 
BRAZIL   570,826    0.5 
CANADA   2,444,337    2.0 
CAYMAN ISLANDS   740    0.0 
CHILE   109,126    0.1 
CHINA   2,929,735    2.4 
COLOMBIA   42,595    0.0 
COTE D’IVOIRE   791    0.0 
CYPRUS   2,506    0.0 
CZECH REPUBLIC   22,003    0.0 
DENMARK   442,967    0.4 
EGYPT   16,586    0.0 
FAROE ISLANDS   6,618    0.0 
FINLAND   358,163    0.3 
FRANCE   2,558,253    2.1 
GEORGIA   3,282    0.0 
GERMANY   2,491,938    2.0 
GHANA   7,637    0.0 
GREECE   29,324    0.0 
GUERNSEY, C.I.   664    0.0 
HONG KONG   892,345    0.7 
HUNGARY   29,782    0.0 
INDIA   912,855    0.7 
INDONESIA   165,577    0.1 
IRELAND   359,194    0.3 
ISRAEL   258,521    0.2 
ITALY   735,204    0.6 
JAPAN   6,192,063    5.0 
JERSEY, C.I.   8,009    0.0 
JORDAN   1,669    0.0 
KAZAKHSTAN   9,106    0.0 
Country  Value
(000)
   % of
total
portfolio
 
KOREA, REPUBLIC OF  $1,359,907    1.1%
LUXEMBOURG   67,035    0.0 
MACAU   27,080    0.0 
MALAYSIA   216,782    0.2 
MALTA   9,224    0.0 
MEXICO   238,955    0.2 
MONACO   2,413    0.0 
MONGOLIA   1,752    0.0 
MYANMAR   223    0.0 
NETHERLANDS   1,542,360    1.2 
NEW ZEALAND   72,004    0.1 
NORWAY   242,721    0.2 
PAKISTAN   7,474    0.0 
PANAMA   16,471    0.0 
PERU   37,384    0.0 
PHILIPPINES   88,924    0.1 
POLAND   82,271    0.1 
PORTUGAL   53,364    0.0 
PUERTO RICO   46,185    0.0 
QATAR   49,884    0.0 
ROMANIA   4,107    0.0 
RUSSIA   260,696    0.2 
SINGAPORE   258,372    0.2 
SOUTH AFRICA   581,242    0.5 
SPAIN   623,162    0.5 
SRI LANKA   4,601    0.0 
SWEDEN   446,493    0.4 
SWITZERLAND   1,723,656    1.4 
TAIWAN   1,130,262    0.9 
TANZANIA, UNITED REPUBLIC OF   136    0.0 
THAILAND   187,392    0.1 
TURKEY   96,626    0.1 
UNITED ARAB EMIRATES   74,641    0.1 
UNITED KINGDOM   3,941,536    3.2 
URUGUAY   40,217    0.0 
ZAMBIA   25,393    0.0 
TOTAL FOREIGN   37,247,485    29.9 
           
TOTAL PORTFOLIO  $124,430,305    100.0%


 

42 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited)

 

CREF Global Equities Account  ■  June 30, 2018

 

Shares     Company  Value
(000)
   % of net
assets
 
COMMON STOCKS          
ARGENTINA  $17,085    0.1%
AUSTRALIA   295,412    1.4 
AUSTRIA   24,706    0.1 
BELGIUM   11,271    0.1 
BERMUDA   2,327    0.0 
BRAZIL   210,041    1.0 
CANADA   528,591    2.6 
CHILE   11,887    0.1 
CHINA          
 751,546  *  Alibaba Group Holding Ltd (ADR)   139,434    0.7 
 3,490,500  e  Tencent Holdings Ltd   175,277    0.8 
       Other   496,955    2.4 
           811,666    3.9 
COLOMBIA   4,178    0.0 
CZECH REPUBLIC   6,042    0.0 
DENMARK   187,051    0.9 
EGYPT   1,122    0.0 
FINLAND   102,302    0.5 
FRANCE   656,160    3.2 
GERMANY          
 500,274     Linde AG. (Tender)   118,854    0.6 
       Other   364,775    1.7 
           483,629    2.3 
GREECE   2,365    0.0 
HONG KONG   161,158    0.8 
HUNGARY   12,657    0.1 
INDIA   231,415    1.1 
INDONESIA   17,484    0.1 
IRELAND   109,672    0.5 
ISRAEL   17,581    0.1 
ITALY   136,445    0.7 
JAPAN          
 2,928,604     Sony Corp   149,987    0.7 
 1,931,953     Toyota Motor Corp   124,937    0.6 
       Other   1,191,958    5.8 
           1,466,882    7.1 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 43
 
Summary portfolio of investments (unaudited) continued

 

CREF Global Equities Account  ■  June 30, 2018

 

Shares     Company  Value
(000)
   % of net
assets
 
JERSEY, C.I.  $906    0.0%
KOREA, REPUBLIC OF   215,665    1.0 
LUXEMBOURG   26,642    0.1 
MACAU   12,136    0.1 
MALAYSIA   20,342    0.1 
MEXICO   28,120    0.1 
MONGOLIA   119    0.0 
NETHERLANDS          
 7,523,555     ING Groep NV   107,997    0.5 
 3,115,357     Royal Dutch Shell plc (A Shares)   107,819    0.5 
       Other   228,372    1.1 
           444,188    2.1 
NEW ZEALAND   14,799    0.1 
NORWAY   128,205    0.6 
PAKISTAN   582    0.0 
PERU   3,629    0.0 
PHILIPPINES   16,238    0.1 
POLAND   9,588    0.0 
PORTUGAL   12,361    0.1 
QATAR   6,051    0.0 
ROMANIA   558    0.0 
RUSSIA   45,001    0.2 
SINGAPORE   30,432    0.1 
SOUTH AFRICA   80,660    0.4 
SPAIN   126,710    0.6 
SWEDEN   95,123    0.5 
SWITZERLAND          
 471,276     Lonza Group AG.   124,533    0.6 
 1,431,453     Novartis AG.   108,434    0.5 
       Other   265,418    1.3 
           498,385    2.4 
TAIWAN   210,425    1.0 
THAILAND   33,428    0.2 
TURKEY   15,486    0.1 
UNITED ARAB EMIRATES   20,317    0.1 

 

44 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Global Equities Account  ■  June 30, 2018

 

Shares     Company  Value
(000)
   % of net
assets
 
UNITED KINGDOM          
 1,699,959     British American Tobacco plc  $85,633    0.4%
       Other   1,078,519    5.2 
           1,164,152    5.6 
UNITED STATES          
 1,866,169     Abbott Laboratories   113,818    0.6 
 654,599     Allergan plc   109,135    0.5 
 183,939  *  Alphabet, Inc (Class A)   207,702    1.0 
 183,467  *  Alphabet, Inc (Class C)   204,685    1.0 
 244,865  *  Amazon.com, Inc   416,221    2.0 
 1,687,998     American International Group, Inc   89,498    0.4 
 2,264,885     Apple, Inc   419,253    2.0 
 5,643,653     Bank of America Corp   159,095    0.8 
 383,543     Boeing Co   128,682    0.6 
 418,144     Broadcom, Inc   101,458    0.5 
 754,736     Caterpillar, Inc   102,395    0.5 
 1,189,444     Chevron Corp   150,381    0.7 
 4,762,591     Cisco Systems, Inc   204,934    1.0 
 3,605,610  n  Coca-Cola Co   158,142    0.8 
 778,368  *  Concho Resources, Inc   107,687    0.5 
 541,536     Costco Wholesale Corp   113,170    0.5 
 1,875,741     DowDuPont, Inc   123,649    0.6 
 1,196,834     DXC Technology Co   96,477    0.5 
 1,218,738     EOG Resources, Inc   151,647    0.7 
 1,765,097  d  Exxon Mobil Corp   146,026    0.7 
 1,181,150  *  Facebook, Inc   229,521    1.1 
 380,757     FedEx Corp   86,455    0.4 
 673,615     Goldman Sachs Group, Inc   148,579    0.7 
 715,699     Home Depot, Inc   139,633    0.7 
 761,595     Honeywell International, Inc   109,708    0.5 
 3,262,787     Intel Corp   162,193    0.8 
 1,074,014     Johnson & Johnson   130,321    0.6 
 2,513,521     JPMorgan Chase & Co   261,909    1.3 
 3,912,531     Microsoft Corp   385,815    1.9 
 1,420,357     Nike, Inc (Class B)   113,174    0.5 
 1,902,000  *  PayPal Holdings, Inc   158,379    0.8 
 912,736  *  salesforce.com, Inc   124,497    0.6 
 1,338,497     SunTrust Banks, Inc   88,368    0.4 
 1,302,081     Textron, Inc   85,820    0.4 
 1,042,346     Union Pacific Corp   147,680    0.7 
 767,986     UnitedHealth Group, Inc   188,418    0.9 
 925,433     Visa, Inc (Class A)   122,574    0.6 
 561,915  n  Wynn Resorts Ltd   94,031    0.5 
       Other   5,506,493    26.6 
           11,587,623    55.9 
URUGUAY   29,628    0.1 
ZAMBIA   2,817    0.0 
       TOTAL COMMON STOCKS   (Cost $18,385,570)   20,389,445    98.3 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 45
 
Summary portfolio of investments (unaudited) continued

 

CREF Global Equities Account  ■  June 30, 2018

 

Shares     Company  Value
(000)
   % of net
assets
 
RIGHTS / WARRANTS          
SPAIN  $25    0.0%
       TOTAL RIGHTS / WARRANTS   (Cost $25)   25    0.0 
                        
Principal     Issuer                
SHORT-TERM INVESTMENTS          
TREASURY DEBT          
$183,760,000     United States Treasury Bill   1.789%, 08/16/18   183,342    0.9 
       Other   97,940    0.5 
           281,282    1.4 
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED          
GOVERNMENT AGENCY DEBT   14,999    0.1 
REPURCHASE AGREEMENTS          
 85,000,000  r  NatWest Markets   1.930%, 07/05/18   85,000    0.4 
    s  Other Repurchase Agreements   2.100%–2.120%, 07/02/18   124,000    0.6 
           209,000    1.0 
VARIABLE RATE SECURITIES   5,143    0.0 
    TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED       229,142    1.1 
       TOTAL SHORT-TERM INVESTMENTS   (Cost $510,411)   510,424    2.5 
                      
       TOTAL PORTFOLIO   (Cost $18,896,006)   20,899,894    100.8 
       OTHER ASSETS & LIABILITIES, NET       (163,353)   (0.8)
       NET ASSETS      $20,736,541    100.0%

 

 

 

Abbreviation(s):

ADR  American Depositary Receipt

 

* Non-income producing
d All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
e All or a portion of these securities are out on loan. The aggregate value of securities on loan is $247,868,000.
n All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts.
r Agreement with NatWest Markets, 1.93% dated 6/28/18 to be repurchased at $85,000,000 on 7/05/18, collateralized by U.S. Government Agency Securities valued at $86,702,000.
s Agreements, 2.10%–2.12% dated 6/29/18 to be repurchased at $124,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $126,481,000.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/18, the aggregate value of securities exempt from registration under Rule 144(A) of the Securities Act of 1933 amounted to $177,007,000 or 0.9% of net assets. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

46 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) concluded

 

CREF Global Equities Account  ■  June 30, 2018

 

 

 

Futures contracts outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (See Note 3):

 

Description  Number of 
long (short) contracts 
   Expiration
date
  Notional
amount
   Value   Unrealized
appreciation
(depreciation
)
Mini MSCI EAFE Index   867    9/21/18  $85,954   $84,766    $(1,188)
S&P 500 E Mini Index   1,058    9/21/18   145,440    143,973    (1,467)
Total   1,925       $231,394   $228,739    $(2,655)
                    
Written options outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (See Note 3):
                    
Description/underlying investment  Number of
contracts
   Notional
amount
  Exercise
price
   Expiration
date
   Value 
Penn National Gaming, Inc, Put   500   $(31) $30.00    8/17/18    $  (32)
Wynn Resorts Ltd, Put   200   (93)  155.00    8/17/18    (83)
Total   700   $(124)            $(115)

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 47
 

Summary of market values by sector (unaudited)

 

CREF Global Equities Account  ■  June 30, 2018

 

Sector  Value
(000)
   % of net
assets
 
INFORMATION TECHNOLOGY  $4,648,017    22.3%
FINANCIALS   3,227,520    15.6 
CONSUMER DISCRETIONARY   3,051,834    14.7 
HEALTH CARE   2,303,001    11.1 
INDUSTRIALS   2,175,346    10.5 
ENERGY   1,474,753    7.1 
CONSUMER STAPLES   1,352,808    6.5 
MATERIALS   1,298,873    6.3 
REAL ESTATE   314,338    1.5 
TELECOMMUNICATION SERVICES   283,052    1.4 
UTILITIES   259,928    1.3 
SHORT-TERM INVESTMENTS   510,424    2.5 
OTHER ASSETS & LIABILITIES, NET   (163,353)   (0.8)
NET ASSETS  $20,736,541    100.0%

 

48 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited)

 

CREF Growth Account  ■  June 30, 2018

 

Shares     Company   Value
(000)
   % of net
assets
 
COMMON STOCKS          
AUTOMOBILES & COMPONENTS  $185,877    0.7%
BANKS   149,761    0.5 
CAPITAL GOODS          
1,295,881     Boeing Co   434,781    1.6 
1,317,855     Honeywell International, Inc   189,837    0.7 
498,156     Northrop Grumman Corp   153,283    0.6 
500,840     Roper Industries, Inc   138,187    0.5 
      Other   1,082,211    4.0 
          1,998,299    7.4 
COMMERCIAL & PROFESSIONAL SERVICES   330,258    1.2 
CONSUMER DURABLES & APPAREL          
1,826,168     Nike, Inc (Class B)   145,509    0.5 
      Other   396,313    1.5 
          541,822    2.0 
CONSUMER SERVICES          
1,320,312     Marriott International, Inc (Class A)   167,152    0.6 
      Other   443,160    1.7 
          610,312    2.3 
DIVERSIFIED FINANCIALS          
949,500  e  iShares Russell 1000 Growth Index Fund   136,538    0.5 
      Other   531,755    2.0 
          668,293    2.5 
ENERGY                
1,453,569     EOG Resources, Inc   180,868    0.7 
      Other   89,657    0.3 
          270,525    1.0 
FOOD & STAPLES RETAILING          
1,674,338     Walmart, Inc   143,407    0.5 
      Other   48,372    0.2 
          191,779    0.7 
FOOD, BEVERAGE & TOBACCO          
807,809     Costco Wholesale Corp   168,816    0.6 
3,278,727  *  Monster Beverage Corp   187,871    0.7 
      Other   289,112    1.1 
          645,799    2.4 
HEALTH CARE EQUIPMENT & SERVICES          
1,171,996  *  Edwards Lifesciences Corp   170,607    0.7 
679,741  *  Intuitive Surgical, Inc   325,242    1.2 
961,824     Stryker Corp   162,414    0.6 
861,595     UnitedHealth Group, Inc   211,384    0.8 
      Other   919,567    3.4 
          1,789,214    6.7 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 49
 
Summary portfolio of investments (unaudited) continued

 

CREF Growth Account  ■  June 30, 2018

 

Shares     Company   Value
(000)
    % of net
assets
 
HOUSEHOLD & PERSONAL PRODUCTS          
1,044,112     Estee Lauder Cos (Class A)  $148,984    0.6%
      Other   68,419    0.2 
          217,403    0.8 
INSURANCE         125,755    0.5 
MATERIALS         455,860    1.7 
MEDIA                
1,285,023     Walt Disney Co   134,683    0.5 
      Other   126,265    0.5 
          260,948    1.0 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES          
1,858,928     AbbVie, Inc   172,230    0.7 
2,013,145     Gilead Sciences, Inc   142,611    0.5 
763,784  *  Illumina, Inc   213,317    0.8 
3,234,270     Zoetis, Inc   275,527    1.0 
      Other   810,724    3.0 
          1,614,409    6.0 
REAL ESTATE   175,729    0.7 
RETAILING                
889,460  *  Amazon.com, Inc   1,511,904    5.6 
1,839,947     Expedia, Inc   221,143    0.8 
1,920,715     Home Depot, Inc   374,732    1.4 
643,365  *  NetFlix, Inc   251,832    0.9 
      Other   870,207    3.3 
          3,229,818    12.0 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT          
4,785,044     Applied Materials, Inc   221,021    0.8 
1,535,093     Broadcom, Inc   372,475    1.4 
1,044,197     NVIDIA Corp   247,370    0.9 
      Other   382,355    1.4 
          1,223,221    4.5 
SOFTWARE & SERVICES          
2,160,904     Activision Blizzard, Inc   164,920    0.6 
1,666,544  *  Adobe Systems, Inc   406,320    1.5 
753,503  *  Alibaba Group Holding Ltd (ADR)   139,797    0.5 
419,563  *  Alphabet, Inc (Class A)   473,766    1.8 
934,702  *  Alphabet, Inc (Class C)   1,042,800    3.9 
1,128,336     Automatic Data Processing, Inc   151,355    0.6 
605,529  *  Baidu, Inc (ADR)   147,144    0.6 
3,877,947  *  eBay, Inc   140,614    0.5 
4,330,231  *  Facebook, Inc   841,450    3.1 
1,343,779  *  IAC/InterActiveCorp   204,913    0.8 
2,673,643     Intuit, Inc   546,239    2.0 
2,660,643     MasterCard, Inc (Class A)   522,870    2.0 
16,113,540     Microsoft Corp   1,588,956    5.9 

 

50 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Growth Account  ■  June 30, 2018

 

Shares     Company   Value
(000)
    % of net
assets
 
SOFTWARE & SERVICES—continued          
4,966,671  *  PayPal Holdings, Inc  $413,575    1.5%
4,185,004  *  salesforce.com, Inc   570,834    2.1 
4,570,507     Tencent Holdings Ltd   229,510    0.9 
4,950,712  *  Twitter, Inc   216,198    0.8 
5,360,934     Visa, Inc (Class A)   710,056    2.6 
      Other   1,509,034    5.6 
          10,020,351    37.3 
TECHNOLOGY HARDWARE & EQUIPMENT          
5,548,459     Apple, Inc   1,027,075    3.8 
      Other   502,089    1.9 
          1,529,164    5.7 
TELECOMMUNICATION SERVICES   40,932    0.2 
TRANSPORTATION          
652,085     FedEx Corp   148,063    0.6 
1,176,506     Union Pacific Corp   166,687    0.6 
      Other   133,909    0.5 
          448,659    1.7 
      TOTAL COMMON STOCKS   (Cost $19,730,359)   26,724,188    99.5 
                 
Principal     Issuer                
SHORT-TERM INVESTMENTS          
TREASURY DEBT   65,002    0.2 
           
Shares     Company            
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES          
210,412,764  c  State Street Navigator Securities Lending Government Money Market Portfolio   210,413    0.8 
          210,413    0.8 
      TOTAL SHORT-TERM INVESTMENTS   (Cost $275,414)   275,415    1.0 
                 
      TOTAL PORTFOLIO   (Cost $20,005,773)   26,999,603    100.5 
      OTHER ASSETS & LIABILITIES, NET       (156,720)   (0.5)
      NET ASSETS      $26,842,883    100.0%

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 51
 
Summary portfolio of investments (unaudited) concluded

 

CREF Growth Account  ■  June 30, 2018

 

 

 

Abbreviation(s):
ADR  American Depositary Receipt
   
* Non-income producing
c Investments made with cash collateral received from securities on loan.
e All or a portion of these securities are out on loan. The aggregate value of securities on loan is $204,741,000.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/18, the aggregate value of securities exempt from registration under Rule 144(A) of the Securities Act of 1933 amounted to $26,393,000 or 0.1% of net assets. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

52 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited)

 

CREF Equity Index Account  ■  June 30, 2018

 

Shares      Company  Value
(000)
   % of net
assets
 
COMMON STOCKS      
AUTOMOBILES & COMPONENTS  $166,588    0.9%
BANKS       
6,456,294     Bank of America Corp   182,003    0.9 
1,742,564     Citigroup, Inc   116,612    0.6 
2,314,565     JPMorgan Chase & Co   241,178    1.3 
3,000,439     Wells Fargo & Co   166,344    0.9 
      Other   540,226    2.8 
          1,246,363    6.5 
CAPITAL GOODS          
394,025     3M Co   77,513    0.4 
375,250     Boeing Co   125,900    0.7 
5,888,439     General Electric Co   80,142    0.4 
509,131     Honeywell International, Inc   73,340    0.4 
      Other   1,025,114    5.3 
          1,382,009    7.2 
COMMERCIAL & PROFESSIONAL SERVICES   192,861    1.0 
CONSUMER DURABLES & APPAREL   276,731    1.4 
CONSUMER SERVICES          
536,924     McDonald’s Corp   84,131    0.4 
      Other   340,654    1.8 
          424,785    2.2 
DIVERSIFIED FINANCIALS   733,968    3.8 
ENERGY         
1,301,029     Chevron Corp   164,489    0.9 
2,894,193  d  Exxon Mobil Corp   239,437    1.2 
      Other   744,671    3.9 
          1,148,597    6.0 
FOOD & STAPLES RETAILING          
974,611     Walmart, Inc   83,475    0.4 
      Other   93,054    0.5 
          176,529    0.9 
FOOD, BEVERAGE & TOBACCO          
1,293,376     Altria Group, Inc   73,451    0.4 
2,613,553     Coca-Cola Co   114,631    0.6 
967,754     PepsiCo, Inc   105,359    0.6 
1,061,141     Philip Morris International, Inc   85,677    0.4 
      Other   370,605    1.9 
          749,723    3.9 
HEALTH CARE EQUIPMENT & SERVICES          
924,317     Medtronic plc   79,131    0.4 
652,978     UnitedHealth Group, Inc   160,202    0.8 
      Other   930,133    4.9 
          1,169,466    6.1 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 53
 
Summary portfolio of investments (unaudited) continued

 

CREF Equity Index Account  ■  June 30, 2018

 

Shares     Company  Value
(000)
   % of net
assets
 
HOUSEHOLD & PERSONAL PRODUCTS          
1,719,779     Procter & Gamble Co  $134,246    0.7%
      Other   130,360    0.7 
          264,606    1.4 
INSURANCE          
1,323,386  *  Berkshire Hathaway, Inc (Class B)   247,010    1.3 
      Other   495,772    2.6 
          742,782    3.9 
MATERIALS          
1,586,053     DowDuPont, Inc   104,553    0.6 
      Other   483,486    2.5 
          588,039    3.1 
MEDIA          
3,120,983     Comcast Corp (Class A)   102,399    0.5 
1,018,460     Walt Disney Co   106,745    0.6 
      Other   221,594    1.1 
          430,738    2.2 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES          
1,084,793     AbbVie, Inc   100,506    0.5 
452,181     Amgen, Inc   83,468    0.4 
1,834,087     Johnson & Johnson   222,548    1.2 
3,963,542     Pfizer, Inc   143,797    0.8 
1,839,464     Schering-Plough Corp   111,656    0.6 
      Other   789,219    4.1 
          1,451,194    7.6 
REAL ESTATE   741,148    3.9 
RETAILING          
277,725  *  Amazon.com, Inc   472,077    2.4 
787,365     Home Depot, Inc   153,615    0.8 
284,600  *  NetFlix, Inc   111,401    0.6 
      Other   476,578    2.5 
          1,213,671    6.3 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT          
3,186,981     Intel Corp   158,425    0.8 
397,542     NVIDIA Corp   94,178    0.5 
669,152     Texas Instruments, Inc   73,774    0.4 
      Other   425,842    2.2 
          752,219    3.9 
SOFTWARE & SERVICES          
439,208     Accenture plc   71,850    0.4 
335,803  *  Adobe Systems, Inc   81,872    0.4 
204,298  *  Alphabet, Inc (Class A)   230,691    1.2 
208,007  *  Alphabet, Inc (Class C)   232,063    1.2 
1,623,985  *  Facebook, Inc   315,573    1.6 
627,572     International Business Machines Corp   87,672    0.5 

 

54 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Equity Index Account  ■  June 30, 2018

 

Shares     Company  Value
(000)
   % of net
assets
 
SOFTWARE & SERVICES—continued          
627,627     MasterCard, Inc (Class A)  $123,341    0.6%
5,177,639     Microsoft Corp   510,567    2.7 
1,962,691     Oracle Corp   86,476    0.5 
1,221,373     Visa, Inc (Class A)   161,771    0.8 
      Other   1,007,552    5.2 
          2,909,428    15.1 
TECHNOLOGY HARDWARE & EQUIPMENT          
3,360,510     Apple, Inc   622,064    3.3 
3,294,433     Cisco Systems, Inc   141,760    0.7 
      Other   306,850    1.6 
          1,070,674    5.6 
TELECOMMUNICATION SERVICES          
4,965,701     AT&T, Inc   159,448    0.8 
2,830,928     Verizon Communications, Inc   142,424    0.8 
      Other   44,362    0.2 
          346,234    1.8 
TRANSPORTATION          
526,366     Union Pacific Corp   74,576    0.4 
      Other   315,566    1.6 
          390,142    2.0 
UTILITIES   557,727    2.9 
      TOTAL COMMON STOCKS (Cost $8,647,318)   19,126,222    99.6 
                 
RIGHTS / WARRANTS          
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   13    0.0 
      TOTAL RIGHTS / WARRANTS (Cost $0)   13    0.0 
                   
Principal     Issuer              
SHORT-TERM INVESTMENTS          
TREASURY DEBT   67,885    0.3 
                   
Shares     Company            
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES         
281,402,954  c  State Street Navigator Securities Lending Government Money Market Portfolio   281,403    1.5 
          281,403    1.5 
      TOTAL SHORT-TERM INVESTMENTS (Cost $349,287)   349,288    1.8 
                 
      TOTAL PORTFOLIO (Cost $8,996,605)   19,475,523    101.4 
      OTHER ASSETS & LIABILITIES, NET     (269,235)   (1.4)
      NET ASSETS    $19,206,288    100.0%

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 55
 
Summary portfolio of investments (unaudited) concluded
   
CREF Equity Index Account  ■  June 30, 2018  

 

 

 

* Non-income producing
c Investments made with cash collateral received from securities on loan.
d All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/18, the aggregate value of securities on loan is $272,346,000.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

 

 

Futures contracts outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (See Note 3):

 

   Number of
long (short
)  Expiration  Notional        Unrealized
appreciation
 
Description  contracts   date  amount   Value   (depreciation)
Russell 2000 E Mini Index   70   9/21/18      $5,893           $5,766                $(127)
S&P 500 E Mini Index   351   9/21/18   48,659    47,764    (895)
S&P Mid-Cap 400 E Mini Index   9   9/21/18   1,799    1,761    (38)
Total   430      $56,351   $55,291   $(1,060)

 

56 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited)

 

CREF Bond Market Account  ■  June 30, 2018

 

             Value   % of net 
Principal      Issuer     (000)   assets 
BANK LOAN OBLIGATIONS          
CAPITAL GOODS  $490    0.0%
CONSUMER DURABLES & APPAREL   894    0.0 
CONSUMER SERVICES   979    0.0 
DIVERSIFIED FINANCIALS   170    0.0 
ENERGY             1,900    0.0 
FOOD & STAPLES RETAILING   910    0.0 
FOOD, BEVERAGE & TOBACCO   983    0.0 
HEALTH CARE EQUIPMENT & SERVICES   2,855    0.1 
MATERIALS   3,380    0.1 
MEDIA   2,720    0.0 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   124    0.0 
RETAILING      659    0.0 
SOFTWARE & SERVICES   1,454    0.0 
TECHNOLOGY HARDWARE & EQUIPMENT   871    0.0 
TRANSPORTATION   1,271    0.0 
       TOTAL BANK LOAN OBLIGATIONS   (Cost $19,796)   19,660    0.2 
                     
BONDS                    
                     
CORPORATE BONDS          
AUTOMOBILES & COMPONENTS   56,154    0.4 
BANKS                    
$ 50,075,000      Citigroup, Inc  3.200%, 10/21/26   46,593    0.3 
40,000,000      Royal Bank of Canada  1.875%, 02/05/20   39,369    0.3 
       Other      730,951    5.5 
              816,913    6.1 
CAPITAL GOODS   78,738    0.6 
COMMERCIAL & PROFESSIONAL SERVICES   50,812    0.4 
CONSUMER DURABLES & APPAREL   8,355    0.1 
CONSUMER SERVICES   143,827    1.1 
DIVERSIFIED FINANCIALS          
  45,550,000      Wells Fargo & Co  2.625%, 07/22/22   43,877    0.3 
       Other      378,023    2.9 
              421,900    3.2 
ENERGY   453,544    3.4 
FOOD & STAPLES RETAILING   80,844    0.6 
FOOD, BEVERAGE & TOBACCO   137,046    1.0 
HEALTH CARE EQUIPMENT & SERVICES   106,838    0.8 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 57
 
Summary portfolio of investments (unaudited) continued
   
CREF Bond Market Account  ■  June 30, 2018  

 

            Value   % of net 
Principal     Issuer     (000)   assets 
INSURANCE    $167,280    1.2%
MATERIALS     138,828    1.0 
MEDIA     166,566    1.2 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES     167,283    1.3 
REAL ESTATE     165,317    1.2 
RETAILING     77,915    0.6 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT     37,534    0.3 
SOFTWARE & SERVICES     108,628    0.8 
TECHNOLOGY HARDWARE & EQUIPMENT     122,526    0.9 
TELECOMMUNICATION SERVICES     177,551    1.3 
TRANSPORTATION     87,920    0.7 
UTILITIES            
$43,402,539     CES MU2 LLC  1.994%, 05/13/27   41,335    0.3 
       Other      398,485    3.0 
              439,820    3.3 
       TOTAL CORPORATE BONDS   (Cost $4,329,070)   4,212,139    31.5 
                     
GOVERNMENT BONDS            
AGENCY SECURITIES     234,700    1.8 
FOREIGN GOVERNMENT BONDS     720,815    5.4 
MORTGAGE BACKED            
 64,968,657     Federal Home Loan Mortgage Corp Gold (FGLMC)  3.500%, 10/01/45   64,973    0.5 
 39,530,510     FGLMC  4.000%, 12/01/45   40,630    0.3 
 97,710,992  h  FGLMC  3.500%, 08/01/46   97,830    0.7 
 48,466,477     FGLMC  3.000%, 01/01/47   46,919    0.3 
 97,419,968     FGLMC  3.000%, 02/01/47   94,348    0.7 
 41,752,149     FGLMC  4.000%, 03/01/48   42,833    0.3 
 41,403,517     Federal National Mortgage Association (FNMA)  3.000%, 02/25/45   41,020    0.3 
 73,741,649     FNMA  3.000%, 12/25/45   72,190    0.5 
 41,487,511     FNMA  4.000%, 01/01/46   42,585    0.3 
 48,118,907     FNMA  3.500%, 12/01/46   48,022    0.4 
 135,514,430  h  FNMA  3.500%, 01/01/47   135,221    1.0 
 140,819,353     FNMA  3.000%, 02/25/48   137,711    1.0 
 68,425,011     FNMA  4.500%, 03/01/48   72,068    0.5 
 229,923,904  h  FNMA  4.000%, 04/01/48   234,709    1.8 
 102,660,000  h  FNMA  4.500%, 07/01/48   107,032    0.8 
 491,301,389     FNMA  3.000%–9.000%, 03/01/23–08/25/48   504,318    3.8 
 44,960,782     Government National Mortgage Association (GNMA)  3.000%, 12/20/47   44,002    0.3 
 104,689,743     GNMA  3.500%, 12/20/47   105,153    0.8 
 89,680,257     GNMA  3.000%, 01/20/48   87,768    0.7 
 89,989,615     GNMA  3.500%, 01/20/48   90,388    0.7 
       Other      235,148    1.8 
              2,344,868    17.5 

 

58 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited) continued
   
CREF Bond Market Account  ■  June 30, 2018  

 

            Value   % of net 
Principal     Issuer     (000)   assets 
                     
MUNICIPAL BONDS    $482,237    3.6%
U.S. TREASURY SECURITIES            
$65,602,000     United States Treasury Bond  4.500%, 02/15/36   80,157    0.6 
 38,000,000     United States Treasury Bond  3.500%, 02/15/39   41,344    0.3 
 56,375,000     United States Treasury Bond  3.625%, 08/15/43   62,755    0.5 
 81,710,000     United States Treasury Bond  2.875%, 08/15/45   79,999    0.6 
 102,850,000     United States Treasury Bond  2.500%, 05/15/46   93,364    0.7 
 89,160,000     United States Treasury Bond  2.750%, 11/15/47   84,984    0.6 
 65,970,000     United States Treasury Bond  3.000%, 02/15/48   66,125    0.5 
 43,000,000     United States Treasury Bond  3.125%, 05/15/48   44,154    0.3 
 71,675,000     United States Treasury Note  0.750%, 10/31/18   71,381    0.5 
 43,115,000     United States Treasury Note  1.250%, 05/31/19   42,696    0.3 
 50,000,000     United States Treasury Note  1.250%, 06/30/19   49,451    0.4 
 68,575,000     United States Treasury Note  1.375%, 07/31/19   67,841    0.5 
 48,700,000     United States Treasury Note  1.250%, 08/31/19   48,046    0.4 
 56,165,000     United States Treasury Note  2.000%, 01/31/20   55,742    0.4 
 54,320,000     United States Treasury Note  2.375%, 04/30/20   54,176    0.4 
 80,420,000     United States Treasury Note  2.500%, 05/31/20   80,379    0.6 
 51,565,000     United States Treasury Note  2.125%, 08/31/20   51,094    0.4 
 40,110,000     United States Treasury Note  1.375%, 09/15/20   39,093    0.3 
 63,695,000     United States Treasury Note  2.625%, 05/15/21   63,692    0.5 
 99,705,000     United States Treasury Note  2.625%, 06/15/21   99,709    0.8 
 204,059,000     United States Treasury Note  2.750%, 04/30/23   204,194    1.5 
 241,287,000     United States Treasury Note  2.750%, 05/31/23   241,504    1.8 
 51,910,000     United States Treasury Note  2.875%, 05/31/25   52,099    0.4 
 136,000,000     United States Treasury Note  2.750%, 02/15/28   134,783    1.0 
       Other      548,326    4.1 
              2,457,088    18.4 
       TOTAL GOVERNMENT BONDS  (Cost $6,316,425)   6,239,708    46.7 
                     
STRUCTURED ASSETS            
ASSET BACKED            
 64,512,500  g  Domino’s Pizza Master Issuer LLC  3.082%, 07/25/47   62,527    0.5 
       Series - 2017 1A (Class A2II)             
       Other      1,143,871    8.5 
              1,206,398    9.0 
OTHER MORTGAGE BACKED            
 61,628,513  i  Connecticut Avenue Securities  2.691%, 07/25/30   61,546    0.5 
       Series - 2018 C01 (Class 1M1), LIBOR 1 M + 0.600%             
 40,939,102  i  Structured Agency Credit Risk Debt Note (STACR)  2.841%, 03/25/30   41,040    0.3 
       Series - 2017 DNA3 (Class M1), LIBOR 1 M + 0.750%             
       Other      1,186,394    8.9 
              1,288,980    9.7 
       TOTAL STRUCTURED ASSETS  (Cost $2,546,686)   2,495,378    18.7 
       TOTAL BONDS  (Cost $13,192,181)   12,947,225    96.9 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 59
 

Summary portfolio of investments (unaudited) continued
   
CREF Bond Market Account  ■  June 30, 2018  

 

                Value    % of net 
Shares      Company      (000)   assets 
PREFERRED STOCKS          
BANKS           $12,592    0.1%
         TOTAL PREFERRED STOCKS  (Cost $49,942)   12,592    0.1 
                         
  Principal      Issuer               
SHORT-TERM INVESTMENTS            
GOVERNMENT AGENCY DEBT     9,818    0.1 
TREASURY DEBT     91,238    0.7 
         TOTAL SHORT-TERM INVESTMENTS  (Cost $101,037)   101,056    0.8 
                       
         TOTAL PORTFOLIO  (Cost $13,362,956)   13,080,533    97.9 
         OTHER ASSETS & LIABILITIES, NET      284,598    2.1 
         NET ASSETS     $13,365,131    100.0%

 

 

 

Abbreviation(s):

LIBOR  London Interbank Offered Rate
M Month

 

g Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/18, the aggregate value of these securities, including those in “Other,” was $2,347,213,000 or 17.6% of net assets.
h All or a portion of these securities were purchased on a delayed delivery basis.
i Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

60 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited) concluded
   
CREF Bond Market Account  ■  June 30, 2018  

 

 

 

Forward foreign currency contracts outstanding as of June 30, 2018 were as follows (dollar amounts are in thousands) (See Note 3):

 

Currency     Currency               Unrealized  
to be     to be               appreciation  
purchased Receive   sold   Deliver   Counterparty   Settlement date   (depreciation )
  $ 7,058   AUD   9,554   Bank of America   7/31/2018                       $ (14 )
  $ 548   NZD   804   Bank of America   7/31/2018     4  
  $ 2,987   SGD   4,071   Bank of America   7/31/2018     (3 )
  EUR 1,064   $   1,241   Bank of America   7/3/2018     2  
  $ 1,017   ZAR   14,021   Bank of America   7/31/2018     (1 )
Total                       $ (12 )
  $ 78,712   EUR   67,372   Citibank N.A.   7/31/2018   $ (141 )
  $ 2,307   PLN   8,606   Citibank N.A.   7/31/2018     8  
Total                       $ (133 )
  $ 34,744   JPY   3,820,023   Goldman Sachs   7/31/2018   $ 170  
Total                       $ 170  
  $ 7,079   CAD   9,408   Morgan Stanley   7/31/2018   $ (81 )
  $ 584   SEK   5,187   Morgan Stanley   7/31/2018     3  
Total                       $ (78 )
  $ 21,328   GBP   16,171   Toronto Dominion Bank   7/31/2018   $ (44 )
  $ 7,562   KRW   8,434,871   Toronto Dominion Bank   7/31/2018     (16 )
  $ 1,628   NOK   13,261   Toronto Dominion Bank   7/31/2018     (2 )
  $ 1,143   THB   37,737   Toronto Dominion Bank   7/31/2018     3  
Total                       $ (59 )
Total                       $ (112 )

 

Abbreviation(s):        
AUD Australian Dollar KRW South Korean Won SGD Singapore Dollar
CAD Canadian Dollar NOK Norwegian Krone THB Thailand Baht
EUR Euro NZD New Zealand Dollar ZAR South African Rand
GBP Pound Sterling PLN Polish Zloty    
JPY Japanese Yen SEK Swedish Krona    
     
See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 61

 

Portfolio of investments (unaudited)

 

CREF Inflation-Linked Bond Account  ■  June 30, 2018

 

            Value   % of net 
Principal     Issuer     (000)   assets 
GOVERNMENT BONDS             
AGENCY SECURITIES             
$16,280,000     Montefiore Medical Center  2.895%, 04/20/32  $15,386    0.2%
 3,500,000     Private Export Funding Corp (PEFCO)  2.300%, 09/15/20   3,458    0.1 
 3,000,000     PEFCO  3.250%, 06/15/25   3,025    0.0 
 5,263,158     Reliance Industries Ltd  2.444%, 01/15/26   5,153    0.1 
 3,500,000     Ukraine Government AID Bonds  1.847%, 05/29/20   3,450    0.1 
 15,000,000     Ukraine Government AID Bonds  1.471%, 09/29/21   14,399    0.2 
              44,871    0.7 
MORTGAGE BACKED             
 12,598,315     Government National Mortgage Association (GNMA)  3.650%, 02/15/32   12,622    0.2 
              12,622    0.2 
U.S. TREASURY SECURITIES             
 161,373,478  k  United States Treasury Inflation Indexed Bonds  1.375%, 01/15/20   163,194    2.5 
 408,105,810  k  United States Treasury Inflation Indexed Bonds  0.125%, 04/15/20   403,766    6.2 
 254,584,165  k  United States Treasury Inflation Indexed Bonds  1.250%, 07/15/20   258,733    4.0 
 344,633,479  k  United States Treasury Inflation Indexed Bonds  1.125%, 01/15/21   349,124    5.4 
 346,692,720  k  United States Treasury Inflation Indexed Bonds  0.125%, 04/15/21   341,337    5.3 
 356,565,992  k  United States Treasury Inflation Indexed Bonds  0.625%, 07/15/21   357,923    5.5 
 360,801,184  k  United States Treasury Inflation Indexed Bonds  0.125%, 01/15/22   354,659    5.5 
 287,910,155  k  United States Treasury Inflation Indexed Bonds  0.125%, 04/15/22   282,019    4.4 
 378,007,920  k  United States Treasury Inflation Indexed Bonds  0.125%, 07/15/22   371,745    5.8 
 324,507,690  k  United States Treasury Inflation Indexed Bonds  0.125%, 01/15/23   317,236    4.9 
 189,101,250  k  United States Treasury Inflation Indexed Bonds  0.625%, 04/15/23   188,771    2.9 
 220,138,115  k  United States Treasury Inflation Indexed Bonds  0.375%, 07/15/23   218,140    3.4 
 136,620,690  k  United States Treasury Inflation Indexed Bonds  0.625%, 01/15/24   136,442    2.1 
 118,690,875  k  United States Treasury Inflation Indexed Bonds  0.125%, 07/15/24   115,376    1.8 
 172,400,210  k  United States Treasury Inflation Indexed Bonds  0.250%, 01/15/25   167,680    2.6 
 262,158,540  k  United States Treasury Inflation Indexed Bonds  2.375%, 01/15/25   290,685    4.5 
 114,089,040  k  United States Treasury Inflation Indexed Bonds  0.375%, 07/15/25   112,066    1.7 
 154,982,100  k  United States Treasury Inflation Indexed Bonds  0.625%, 01/15/26   154,120    2.4 
 234,542,740  d,k  United States Treasury Inflation Indexed Bonds  2.000%, 01/15/26   256,966    4.0 
 133,772,800  k  United States Treasury Inflation Indexed Bonds  0.125%, 07/15/26   128,139    2.0 
 168,523,875  k  United States Treasury Inflation Indexed Bonds  0.375%, 01/15/27   163,711    2.5 
 169,191,726  k  United States Treasury Inflation Indexed Bonds  2.375%, 01/15/27   192,406    3.0 
 108,042,550  k  United States Treasury Inflation Indexed Bonds  0.375%, 07/15/27   105,094    1.6 
 181,284,600  k  United States Treasury Inflation Indexed Bonds  0.500%, 01/15/28   177,327    2.7 
 206,154,196  k  United States Treasury Inflation Indexed Bonds  1.750%, 01/15/28   225,217    3.5 
 100,714,622  k  United States Treasury Inflation Indexed Bonds  3.625%, 04/15/28   127,830    2.0 
 184,239,299  k  United States Treasury Inflation Indexed Bonds  2.500%, 01/15/29   216,448    3.3 
 150,999,287  k  United States Treasury Inflation Indexed Bonds  3.875%, 04/15/29   199,028    3.1 
              6,375,182    98.6 
       TOTAL GOVERNMENT BONDS   (Cost $6,322,141)   6,432,675    99.5 

 

62 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Portfolio of investments (unaudited) concluded

 

CREF Inflation-Linked Bond Account  ■  June 30, 2018

 

         Value   % of net 
Principal     Issuer  (000)   assets 
SHORT-TERM INVESTMENTS          
GOVERNMENT AGENCY DEBT          
$11,750,000     Federal Home Loan Bank (FHLB)   1.630%, 07/02/18  $11,750    0.2%
           11,750    0.2 
       TOTAL SHORT-TERM INVESTMENTS   (Cost $11,749)   11,750    0.2 
                      
       TOTAL PORTFOLIO   (Cost $6,333,890)   6,444,425    99.7 
       OTHER ASSETS & LIABILITIES, NET       23,089    0.3 
       NET ASSETS      $6,467,514    100.0%

 

 

 

dAll or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
k Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.

 

Cost amounts are in thousands.

 

 

 

Futures contracts outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (See Note 3):

 

Description  Number of 
long (short)
contracts 
  Expiration
date
  Notional
amount
  Value   Unrealized
appreciation
(depreciation
)
US 10 Year Note (CBT)  (100 9/19/18  $(11,960) $(12,019)  $(59)

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 63
 

Summary portfolio of investments (unaudited)

 

CREF Social Choice Account  ■  June 30, 2018

 

         Value   % of net 
Principal     Issuer  (000)   assets 
BANK LOAN OBLIGATIONS          
CAPITAL GOODS  $2,564    0.0%
MATERIALS   3,256    0.0 
MEDIA   8,513    0.1 
TECHNOLOGY HARDWARE & EQUIPMENT   8,534    0.1 
UTILITIES   21,920    0.1 
       TOTAL BANK LOAN OBLIGATIONS   (Cost $46,185)   44,787    0.3 
BONDS          
CORPORATE BONDS          
AUTOMOBILES & COMPONENTS   16,786    0.1 
BANKS   416,874    3.0 
CAPITAL GOODS   74,045    0.6 
COMMERCIAL & PROFESSIONAL SERVICES   6,199    0.0 
CONSUMER SERVICES   68,687    0.5 
DIVERSIFIED FINANCIALS   116,305    0.8 
ENERGY   160,461    1.1 
HEALTH CARE EQUIPMENT & SERVICES   27,510    0.2 
INSURANCE   57,159    0.4 
MATERIALS   110,631    0.8 
MEDIA   28,753    0.2 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   20,281    0.1 
REAL ESTATE   73,006    0.5 
TECHNOLOGY HARDWARE & EQUIPMENT   40,245    0.3 
TELECOMMUNICATION SERVICES   53,264    0.4 
TRANSPORTATION   138,232    1.0 
UTILITIES   478,959    3.5 
       TOTAL CORPORATE BONDS   (Cost $1,931,134)   1,887,397    13.5 
           
GOVERNMENT BONDS          
AGENCY SECURITIES          
$45,500,000     Iraq Government AID Bond   2.149%, 01/18/22   44,589    0.3 
 164,844,347  j  Overseas Private Investment Corp (OPIC)   0.000%–3.938%, 11/13/18–07/31/33   164,273    1.2 
       Other   379,761    2.7 
           588,623    4.2 

 

64 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Social Choice Account  ■  June 30, 2018

 

Principal     Issuer  Value
(000)
   % of net
assets
 
FOREIGN GOVERNMENT BONDS          
$45,000,000     Inter-American Development Bank   1.185%, 07/09/18  $44,994    0.3%
 46,500,000     International Finance Corp   1.546%, 11/04/21   44,223    0.3 
       Other   538,896    3.9 
           628,113    4.5 
MORTGAGE BACKED          
 154,605,808  h  Federal Home Loan Mortgage Corp Gold (FGLMC)   3.000%–8.000%, 10/01/20–03/01/48   154,723    1.1 
 50,579,892  h  Federal National Mortgage Association (FNMA)   3.500%, 01/01/47   50,470    0.4 
 60,844,604     FNMA   3.000%, 02/25/48   59,502    0.4 
 83,192,541     FNMA   4.000%, 04/01/48   84,924    0.6 
 353,342,258  h  FNMA   1.625%–8.000%, 01/21/20–07/25/48   360,835    2.6 
 45,015,220     Government National Mortgage Association (GNMA)  3.500%, 12/20/47    45,214    0.3 
 149,536,734     GNMA   2.580%–6.500%, 08/15/23–03/20/48   148,251    1.1 
       Other   36,364    0.2 
           940,283    6.7 
MUNICIPAL BONDS          
 38,830,000     State of California   3.750%, 10/01/37   39,697    0.3 
       Other   624,807    4.5 
           664,504    4.8 
U.S. TREASURY SECURITIES          
 66,090,000     United States Treasury Bond   2.875%, 11/15/46   64,647    0.5 
 88,925,000     United States Treasury Bond   3.000%, 05/15/47   89,088    0.6 
       Other   123,237    0.9 
           276,972    2.0 
       TOTAL GOVERNMENT BONDS   (Cost $3,130,801)   3,098,495    22.2 
           
STRUCTURED ASSETS          
ASSET BACKED   267,676    1.9 
OTHER MORTGAGE BACKED   267,934    1.9 
       TOTAL STRUCTURED ASSETS   (Cost $543,254)   535,610    3.8 
       TOTAL BONDS   (Cost $5,605,189)   5,521,502    39.5 
                         
Shares     Company                
COMMON STOCKS          
AUTOMOBILES & COMPONENTS   135,775    1.0 
BANKS          
 2,917,323     Bank of America Corp   82,239    0.6 
 295,930     PNC Financial Services Group, Inc   39,980    0.3 
       Other   532,365    3.8 
           654,584    4.7 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 65
 
Summary portfolio of investments (unaudited) continued

 

CREF Social Choice Account  ■  June 30, 2018

 

         Value   % of net 
Shares     Company  (000)   assets 
CAPITAL GOODS          
 255,196     3M Co  $50,202    0.4%
       Other   576,215    4.1 
           626,417    4.5 
COMMERCIAL & PROFESSIONAL SERVICES   92,991    0.7 
CONSUMER DURABLES & APPAREL          
 649,655     Nike, Inc (Class B)   51,765    0.4 
       Other   107,231    0.7 
           158,996    1.1 
CONSUMER SERVICES          
 803,612     Starbucks Corp   39,256    0.3 
       Other   143,196    1.0 
           182,452    1.3 
DIVERSIFIED FINANCIALS          
 443,362     American Express Co   43,449    0.3 
 79,185     BlackRock, Inc   39,517    0.3 
       Other   375,212    2.7 
           458,178    3.3 
ENERGY          
 501,623     Occidental Petroleum Corp   41,976    0.3 
 726,241     Schlumberger Ltd   48,680    0.3 
       Other   421,128    3.0 
           511,784    3.6 
FOOD & STAPLES RETAILING   81,881    0.6 
FOOD, BEVERAGE & TOBACCO          
 1,463,356     Coca-Cola Co   64,183    0.5 
 945,590     Mondelez International, Inc   38,769    0.3 
 572,365     Nestle S.A.   44,359    0.3 
 563,238     PepsiCo, Inc   61,320    0.4 
       Other   133,335    0.9 
           341,966    2.4 
HEALTH CARE EQUIPMENT & SERVICES          
 176,146     Becton Dickinson & Co   42,198    0.3 
       Other   306,191    2.2 
           348,389    2.5 
HOUSEHOLD & PERSONAL PRODUCTS          
 893,316     Procter & Gamble Co   69,732    0.5 
       Other   120,759    0.9 
           190,491    1.4 
INSURANCE          
 732,966     American International Group, Inc   38,862    0.3 
       Other   350,639    2.5 
           389,501    2.8 

 

66 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Social Choice Account  ■  June 30, 2018

 

         Value   % of net 
Shares     Company  (000)   assets 
MATERIALS  $433,615    3.1%
MEDIA   112,966    0.8 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES          
 419,159     AbbVie, Inc   38,835    0.3 
 295,233     Amgen, Inc   54,497    0.4 
 698,359     Bristol-Myers Squibb Co   38,647    0.3 
 525,815     Eli Lilly & Co   44,868    0.3 
 1,038,870     Schering-Plough Corp   63,060    0.5 
       Other   411,874    2.9 
           651,781    4.7 
REAL ESTATE          
 279,287     American Tower Corp   40,265    0.3 
       Other   280,426    2.0 
           320,691    2.3 
RETAILING          
 24,493 *   Booking Holdings, Inc   49,650    0.4 
 386,924     Home Depot, Inc   75,489    0.5 
 474,796     Lowe’s Companies, Inc   45,376    0.3 
 159,731 *   NetFlix, Inc   62,523    0.4 
       Other   204,556    1.5 
           437,594    3.1 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT          
 1,417,648     Intel Corp   70,471    0.5 
 202,083     NVIDIA Corp   47,874    0.3 
 465,418     Texas Instruments, Inc   51,312    0.4 
       Other   79,511    0.6 
           249,168    1.8 
SOFTWARE & SERVICES          
 310,048     Accenture plc   50,721    0.4 
 385,269     International Business Machines Corp   53,822    0.4 
 1,868,852     Microsoft Corp   184,287    1.3 
 1,228,615     Oracle Corp   54,133    0.4 
 357,710 *   salesforce.com, Inc   48,792    0.3 
       Other   296,572    2.1 
           688,327    4.9 
TECHNOLOGY HARDWARE & EQUIPMENT          
 1,168,971     Apple, Inc   216,388    1.6 
 1,678,433     Cisco Systems, Inc   72,223    0.5 
       Other   237,713    1.7 
           526,324    3.8 
TELECOMMUNICATION SERVICES   146,172    1.0 
TRANSPORTATION          
 331,456     Union Pacific Corp   46,961    0.3 
 368,329     United Parcel Service, Inc (Class B)   39,128    0.3 
       Other   155,496    1.1 
           241,585    1.7 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 67
 
Summary portfolio of investments (unaudited) concluded

 

CREF Social Choice Account  ■  June 30, 2018

 

         Value   % of net 
Shares     Company  (000)   assets 
UTILITIES  $276,218    1.9%
       TOTAL COMMON STOCKS   (Cost $6,440,068)   8,257,846    59.0 
                      
PREFERRED STOCKS          
BANKS   20,952    0.2 
       TOTAL PREFERRED STOCKS   (Cost $38,865)   20,952    0.2 
           
RIGHTS / WARRANTS          
ENERGY   333    0.0 
       TOTAL RIGHTS / WARRANTS   (Cost $330)   333    0.0 
                  
Principal     Issuer            
SHORT-TERM INVESTMENTS          
TREASURY DEBT          
$60,920,000     United States Treasury Bill   1.789%, 08/16/18   60,781    0.4 
                 60,781    0.4 
                        
Shares     Company                
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES          
 232,695,245  c  State Street Navigator Securities Lending Government Money Market Portfolio   232,695    1.7 
           232,695    1.7 
       TOTAL SHORT-TERM INVESTMENTS   (Cost $293,476)   293,476    2.1 
                      
       TOTAL PORTFOLIO   (Cost $12,424,113)   14,138,896    101.1 
       OTHER ASSETS & LIABILITIES, NET       (155,993)   (1.1)
       NET ASSETS      $13,982,903    100.0%

 

 

 

* Non-income producing
c Investments made with cash collateral received from securities on loan.
h All or a portion of these securities were purchased on a delayed delivery basis.
j Zero coupon

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/18, the aggregate value of securities on loan is $224,783,000.

 

At 6/30/18, the aggregate value of securities exempt from registration under Rule 144(A) of the Securities Act of 1933 amounted to $1,155,718,000 or 8.3% of net assets. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

68 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited)

 

CREF Money Market Account  ■  June 30, 2018

 

            Value   % of net 
Principal     Issuer      (000)    assets 
SHORT-TERM INVESTMENTS             
GOVERNMENT AGENCY DEBT             
$898,151,000     Federal Farm Credit Bank (FFCB)  0.010%, 07/02/18–01/18/19  $895,364    9.5%
 90,638,000     Federal Home Loan Bank (FHLB)  0.010%, 07/06/18   90,616    1.0 
 116,400,000     FHLB  0.010%, 07/13/18   116,333    1.2 
 99,500,000     FHLB  0.010%, 07/20/18   99,405    1.1 
 60,000,000     FHLB  0.010%, 07/25/18   59,925    0.6 
 106,100,000     FHLB  0.010%, 07/27/18   105,958    1.1 
 110,575,000     FHLB  0.010%, 08/01/18   110,398    1.2 
 83,600,000     FHLB  0.010%, 08/03/18   83,459    0.9 
 82,300,000     FHLB  0.010%, 08/10/18   82,127    0.9 
 71,177,000     FHLB  0.010%, 08/15/18   71,010    0.7 
 62,700,000     FHLB  0.010%, 08/17/18   62,546    0.7 
 100,667,000     FHLB  0.010%, 09/14/18   100,265    1.1 
 1,110,230,000     FHLB  0.010%, 07/02/18–12/14/18   1,106,865    11.7 
 89,000,000     Federal Home Loan Mortgage Corp (FHLMC)  0.010%, 07/09/18   88,966    0.9 
 120,000,000     FHLMC  0.010%, 07/10/18   119,948    1.3 
 80,040,000     FHLMC  0.010%, 07/18/18   79,976    0.8 
 90,428,000     FHLMC  0.010%, 07/23/18   90,327    1.0 
 84,015,000     FHLMC  0.010%, 08/20/18   83,795    0.9 
 80,000,000     FHLMC  0.010%, 08/24/18   79,777    0.8 
 81,000,000     FHLMC  0.010%, 09/04/18   80,722    0.9 
 98,500,000     FHLMC  0.010%, 09/19/18   98,084    1.0 
 541,945,000     FHLMC  0.010%, 07/06/18–11/02/18   540,383    5.7 
 80,000,000     Federal National Mortgage Association (FNMA)  0.010%, 07/02/18   79,996    0.8 
 76,981,000     FNMA  0.010%, 07/11/18   76,943    0.8 
 80,000,000     FNMA  0.010%, 07/16/18   79,943    0.8 
 101,485,000     FNMA  0.010%, 07/17/18   101,406    1.1 
 90,000,000     FNMA  0.010%, 07/23/18   89,905    1.0 
 95,000,000     FNMA  0.010%, 07/24/18   94,893    1.0 
 63,775,000     FNMA  0.010%, 07/25/18   63,698    0.7 
 100,000,000     FNMA  0.010%, 08/07/18   99,811    1.1 
 60,000,000     FNMA  0.010%, 08/17/18   59,856    0.6 
 65,352,000     FNMA  0.010%, 08/29/18   65,150    0.7 
 560,150,000     FNMA  0.010%, 07/03/18– 09/26/18   558,848    5.9 
       Other      73,450    0.8 
              5,690,148    60.3 
TREASURY DEBT             
 83,815,000     United States Treasury Bill  0.010%, 07/05/18   83,799    0.9 
 100,000,000     United States Treasury Bill  0.010%, 07/12/18   99,947    1.1 
 101,070,000     United States Treasury Bill  0.010%–1.355%, 07/19/18   100,995    1.1 
 86,780,000     United States Treasury Bill  0.010%, 07/26/18   86,673    0.9 
 75,000,000     United States Treasury Bill  0.010%, 08/02/18   74,883    0.8 
 116,125,000     United States Treasury Bill  0.010%, 08/09/18   115,897    1.2 
 113,010,000     United States Treasury Bill  0.010%–1.342%, 08/16/18   112,760    1.2 
 89,590,000     United States Treasury Bill  0.010%, 08/23/18   89,343    0.9 
 120,225,000     United States Treasury Bill  0.010%, 09/06/18   119,803    1.3 
 94,050,000     United States Treasury Bill  0.010%, 09/13/18   93,741    1.0 
 96,460,000     United States Treasury Bill  0.010%, 09/20/18   96,053    1.0 
 92,535,000     United States Treasury Bill  0.010%, 09/27/18   92,105    1.0 

 

See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 69
 
Summary portfolio of investments (unaudited) concluded

 

CREF Money Market Account  ■  June 30, 2018

 

            Value   % of net 
Principal     Issuer     (000)   assets 
TREASURY DEBT—continued             
$125,000,000     United States Treasury Bill  0.010%, 10/11/18  $124,416    1.3%
 85,735,000     United States Treasury Bill  0.010%, 10/18/18   85,232    0.9 
 120,000,000     United States Treasury Bill  0.010%, 11/08/18   119,289    1.3 
 87,400,000     United States Treasury Bill  0.010%, 12/06/18   86,738    0.9 
 273,180,000     United States Treasury Bill  0.010%–2.079%, 08/30/18–12/13/18   271,375    2.9 
 60,000,000     United States Treasury Note  0.750%, 07/31/18   59,960    0.6 
 59,840,000     United States Treasury Note  1.000%, 08/15/18   59,782    0.6 
       Other      69,391    0.7 
              2,042,182    21.6 
VARIABLE RATE SECURITIES             
 470,500,000  i  Federal Agricultural Mortgage Corp (FAMC),
LIBOR 1 M – 0.120%–EFFR + 0.150%
  1.881%–2.060%, 08/03/18–09/27/19   470,500    5.0 
 95,000,000  i  Federal Farm Credit Bank (FFCB),
LIBOR 1 M – 0.050%
  2.035%, 09/17/18   94,998    1.0 
 762,100,000  i  FFCB, EFFR – 0.015%–LIBOR 3 M – 0.030%  1.895%–2.305%, 08/01/18–05/29/20   762,142    8.1 
 72,500,000  i  Federal Home Loan Bank (FHLB),
LIBOR 3 M – 0.200%
  2.155%, 01/18/19   72,501    0.8 
 153,000,000  i  FHLB, LIBOR 1 M – 0.070%–LIBOR 3 M – 0.230%  1.976%–2.125%, 02/13/19–07/12/19   153,006    1.6 
 72,900,000  i  Federal Home Loan Mortgage Corp (FHLMC),
LIBOR 1 M – 0.100%
  1.930%, 08/08/19   72,901    0.8 
       Other      80,041    0.8 
              1,706,089    18.1 
       TOTAL SHORT-TERM INVESTMENTS  (Cost $9,438,419)   9,438,419    100.0 
                     
       TOTAL PORTFOLIO  (Cost $9,438,419)   9,438,419    100.0 
       OTHER ASSETS & LIABILITIES, NET      (2,577)   (0.0)
       NET ASSETS     $9,435,842    100.0%

 

 

 

Abbreviation(s):

EFFR Effective Federal Funds Rate
LIBOR London Interbank Offered Rate
M Month

 

i Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

70 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

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College Retirement Equities Fund  ■  2018 Semiannual Report 71
 

Statements of assets and liabilities (unaudited)

 

College Retirement Equities Fund  ■  June 30, 2018

 

(amounts in thousands, except accumulation unit value)  Stock Account  Global Equities Account  Growth Account  Equity Index Account  Bond Market Account  Inflation-Linked Bond Account  Social Choice Account  Money Market Account 
ASSETS                                 
Portfolio investments, at value*  $124,171,183  $20,899,894  $26,999,603  $19,475,523  $13,080,533  $6,444,425  $14,138,896  $9,438,419 
Affiliated investments, at value   259,122                      
Total portfolio investments, at value  $124,430,305  $20,899,894  $26,999,603  $19,475,523  $13,080,533  $6,444,425  $14,138,896  $9,438,419 
Cash**   365,986   34,832   131   128   207,761   170   27,572   1 
Cash — foreign^   23,748   6,154               2,024    
Dividends and interest receivable   202,181   39,273   8,019   17,168   78,093   22,064   56,796   3,414 
Receivable from securities transactions   886,990   596,572   156,742   1   55,958      12,164    
Receivable for delayed delivery securities   896            50,207      9,386    
Due from affiliates      6,071         1,062   1,199       
Unrealized appreciation on forward foreign currency contracts   420                      
Receivable for variation margin on open futures contracts   196   523      29             
Other   11,166   2,150   2,227   1,889   1,778   1,364   2,028   1,725 
Total assets   125,921,888   21,585,469   27,166,722   19,494,738   13,475,392   6,469,222   14,248,866   9,443,559 
LIABILITIES                                 
Investment management fees payable   2,838   452   185   164   238   111   400   226 
Service agreement fees payable   2,397   337   461   301   46   174      308 
Payable for collateral for securities loaned   2,383,854   263,490   210,413   281,403         232,695    
Payable for securities transactions   968,111   582,392   110,333      19,838      2,248    
Payable for delayed delivery securities               88,230      26,760    
Due to affiliates   130,448      272   4,722         2,166   5,257 
Payable for variation margin on futures contracts                  59       
Written options   989   115                   
Payable for trustee compensation   10,392   2,096   2,175   1,860   1,797   1,364   1,694   1,715 
Unrealized depreciation on forward foreign currency contracts               112          
Other   7,779   46                  211 
Total liabilities   3,506,808   848,928   323,839   288,450   110,261   1,708   265,963   7,717 
NET ASSETS  $122,415,080  $20,736,541  $26,842,883  $19,206,288  $13,365,131  $6,467,514  $13,982,903  $9,435,842 
CLASS R1 (Accumulation):   Net assets  $14,918,114  $3,583,254  $4,969,204  $3,786,788  $2,085,845  $991,298  $2,298,099  $1,811,220 
    Units outstanding   30,602   20,105   24,998   16,865   17,452   14,424   9,816   70,466 
                  Unit value  $487.50  $178.22  $198.78  $224.53  $119.52  $68.73  $234.12  $25.70 
CLASS R2 (Accumulation):   Net assets   36,620,199   7,030,497   9,141,445   6,595,032   4,650,170   2,072,900   4,886,308   2,849,412 
    Units outstanding   74,499   39,123   45,609   29,131   38,588   29,914   20,700   110,501 
    Unit value  $491.55  $179.70  $200.43  $226.39  $120.51  $69.30  $236.06  $25.79 
CLASS R3 (Accumulation):   Net assets   59,045,332   9,731,374   12,275,555   8,398,909   6,351,458   3,214,630   6,427,054   4,638,776 
    Units outstanding   119,799   54,008   61,081   37,000   52,565   46,266   27,154   179,634 
    Unit value  $492.87  $180.18  $200.97  $227.00  $120.83  $69.48  $236.69  $25.82 
ANNUITY:   Net assets  $11,831,435  $391,416  $456,679  $425,559  $277,658  $188,686  $371,442  $136,434 
* Includes securities loaned of  $2,288,975  $247,868  $204,741  $272,346  $  $  $224,783  $ 
** Includes cash collateral for securities loaned of  $135,790  $14,700  $  $  $  $  $  $ 
# Includes cash collateral for mortgage dollar rolls of  $  $  $  $  $95,242  $  $27,564  $ 
§ Includes cash collateral for open futures contracts of  $  $  $  $  $  $105  $  $ 
Portfolio investments; unaffiliated issuers cost  $109,704,184  $18,896,006  $20,005,773  $8,996,605  $13,362,956  $6,333,890  $12,424,113  $9,438,419 
Portfolio investments; affiliated issuers cost  $283,322  $  $  $  $  $  $  $ 
^ Foreign cash, cost  $23,746  $6,150  $  $  $  $  $2,014  $ 
Written options premiums  $2,203  $124  $  $  $  $  $  $ 

 

72 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 73
 

Statements of operations (unaudited)

 

College Retirement Equities Fund  ■  For the period ended June 30, 2018

 

(amounts in thousands)     Stock Account         Global Equities Account         Growth Account         Equity Index Account         Bond Market Account         Inflation-Linked Bond Account         Social Choice Account         Money Market Account    
INVESTMENT INCOME                                        
Dividends:                                        
Unaffiliated issuers*  $1,341,290   $243,765   $138,622   $167,020   $   $   $104,436   $ 
Affiliated issuers   846                             
Income from securities lending   20,655    3,978    896    2,040            1,396     
Interest   5,219    2,271    714    578    210,783    117,274    89,696    74,165 
Other                   622        1,135     
Total income   1,368,010    250,014    140,232    169,638    211,405    117,274    196,663    74,165 
EXPENSES                                        
Investment management fees   61,478    12,354    5,259    1,545    6,667    816    3,296    1,236 
Administrative – Class R1   22,227    5,268    7,113    5,518    3,053    1,444    3,381    2,628 
Administrative – Class R2   32,345    6,164    7,798    5,709    4,011    1,765    4,271    2,436 
Administrative – Class R3   56,550    7,871    9,668    6,903    5,184    2,627    5,340    3,696 
Distribution fees – Class R1   11,737    2,775    3,746    2,912    1,609    761    1,784    1,383 
Distribution fees – Class R2   14,276    2,715    3,428    2,519    1,774    780    1,887    1,076 
Distribution fees – Class R3   19,667    2,741    3,370    2,401    1,801    913    1,857    1,286 
Mortality and expense risk charges   3,131    522    658    482    335    160    353    234 
Total expenses   221,411    40,410    41,040    27,989    24,434    9,266    22,169    13,975 
Plus: Recovery of expenses previously withheld by TIAA                               15,048 
Net expenses   221,411    40,410    41,040    27,989    24,434    9,266    22,169    29,023 
Net investment income (loss)   1,146,599    209,604    99,192    141,649    186,971    108,008    174,494    45,142 
NET REALIZED AND UNREALIZED GAIN (LOSS) ON TOTAL INVESTMENTS
Realized gain (loss):                                        
Portfolio investments:                                        
Unaffiliated issuers   8,287,007    1,724,893    2,095,228    615,699    (75,172)   (3,113)   797,351    (5)
Affiliated issuers   1,458                             
Futures transactions   3,013    13,891        3,304        392         
Purchased options   (5,561)                            
Written options   10,612    107                         
Forward foreign currency contracts   14                3,632             
Swap transactions   (3,015)                            
Foreign currency transactions   (8,955)   (3,490)   13        989        (533)    
Net realized gain (loss) on total investments   8,284,573    1,735,401    2,095,241    619,003    (70,551)   (2,721)   796,818    (5)
Change in unrealized appreciation (depreciation) on:                                        
Portfolio investments:                                        
Unaffiliated issuers   (8,196,443)   (2,086,995)   (146,971)   (167,122)   (350,502)   (103,021)   (961,623)    
Affiliated issuers   (15,486)                            
Purchased options   (297)                            
Written options   901    9                         
Futures transactions   (5,178)   (6,833)       (1,789)       (96)        
Forward foreign currency contracts   420                1,038             
Swap transactions   190                             
Translation of assets (other than portfolio investments) and liabilities denominated in foreign currencies   (2,131)   (576)   (27)       (86)       (223)    
Net change in unrealized appreciation (depreciation) on total investments   (8,218,024)   (2,094,395)   (146,998)   (168,911)   (349,550)   (103,117)   (961,846)    
Net realized and unrealized gain (loss) on total investments   66,549    (358,994)   1,948,243    450,092    (420,101)   (105,838)   (165,028)   (5)
Net increase (decrease) in net assets from operations  $1,213,148   $(149,390)  $2,047,435   $591,741   $(233,130)  $2,170   $9,466   $45,137 
*   Net of foreign withholding taxes of unaffiliated issuers  $71,659   $16,012   $1,968   $8   $78   $   $5,660   $ 
   Includes net realized gain (loss) from securities sold to affiliates of  $528,159   $333,169   $69,387   $43,677   $   $   $7,797   $ 
   Includes net change in unrealized foreign capital gains taxes of  $6,396   $1,651   $   $   $8   $   $   $ 

 

74 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 75
 

Statements of changes in net assets

 

College Retirement Equities Fund  ■  For the period or year ended

 

      Stock Account  Global Equities Account  Growth Account
(amounts in thousands except accumulation units)     June 30,
2018
   December 31,
2017
   June 30,
2018
   December 31,
2017
   June 30,
2018
   December 31,
2017
 
      (unaudited)       (unaudited)       (unaudited)     
OPERATIONS                                 
Net investment income (loss)     $1,146,599   $1,996,008   $209,604   $315,950   $99,192   $178,818 
Net realized gain (loss) on total investments      8,284,573    10,273,736    1,735,401    1,165,787    2,095,241    1,981,280 
Net change in unrealized appreciation (depreciation) on total investments      (8,218,024)   12,938,878    (2,094,395)   2,794,100    (146,998)   4,221,425 
Net increase (decrease) in net assets from operations      1,213,148    25,208,622    (149,390)   4,275,837    2,047,435    6,381,523 
FROM PARTICIPANT TRANSACTIONS                              
Premiums and contributions:  Class R1   250,015    562,937    164,971    167,345    169,341    269,213 
   Class R2   570,162    1,096,517    232,561    251,551    197,603    383,624 
   Class R3   944,084    1,796,500    453,245    399,103    357,566    477,167 
Net transfers between CREF Accounts  Class R1   (422,270)   (157,164)   (36,285)   (11,609)   (124,228)   (23,121)
   Class R2   (469,711)   (369,898)   76,518    (26,675)   (69,312)   (65,068)
   Class R3   308,576    (242,297)   282,034    29,658    128,589    13,161 
Withdrawals and death benefits  Class R1   (897,509)   (1,838,633)   (197,143)   (456,836)   (294,046)   (542,934)
   Class R2   (2,002,253)   (4,132,496)   (360,054)   (786,449)   (477,091)   (897,313)
   Class R3   (3,260,862)   (6,731,436)   (484,132)   (1,145,370)   (652,795)   (1,250,681)
Annuity payments:      (712,562)   (1,363,308)   (20,022)   (36,450)   (21,214)   (36,769)
Net increase (decrease) from participant transactions      (5,692,330)   (11,379,278)   111,693    (1,615,732)   (785,587)   (1,672,721)
Net increase (decrease) in net assets      (4,479,182)   13,829,344    (37,697)   2,660,105    1,261,848    4,708,802 
NET ASSETS                                 
Beginning of period      126,894,262    113,064,918    20,774,238    18,114,133    25,581,035    20,872,233 
End of period     $122,415,080   $126,894,262   $20,736,541   $20,774,238   $26,842,883   $25,581,035 
ACCUMULATION UNITS:                                 
Units purchased:  Class R1   507,660    1,287,244    906,962    1,036,261    871,527    1,653,539 
   Class R2   1,149,489    2,487,252    1,266,275    1,542,146    1,010,955    2,356,504 
   Class R3   1,729,357    3,662,867    2,423,294    2,298,296    1,755,587    2,752,948 
Units sold / transferred:  Class R1   (2,694,075)   (4,559,634)   (1,286,395)   (2,911,570)   (2,175,095)   (3,488,438)
   Class R2   (4,993,302)   (10,225,025)   (1,541,036)   (5,022,346)   (2,805,357)   (5,914,089)
   Class R3   (5,894,878)   (15,744,720)   (1,085,222)   (6,880,321)   (2,679,963)   (7,591,087)
Outstanding:                                 
Beginning of period      235,095,367    258,187,383    112,552,603    122,490,137    135,710,739    145,941,362 
End of period      224,899,618    235,095,367    113,236,481    112,552,603    131,688,393    135,710,739 

 

76 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 77
 
Statements of changes in net assets continued

 

College Retirement Equities Fund  ■  For the period or year ended

 

      Equity Index Account  Bond Market Account  Inflation-Linked Bond Account
(amounts in thousands except accumulation units)  June 30, 2018   December 31, 2017   June 30, 2018   December 31, 2017   June 30, 2018   December 31, 2017 
      (unaudited)      (unaudited)      (unaudited)    
OPERATIONS
Net investment income (loss)  $141,649   $297,825   $186,971   $349,341   $108,008   $147,769 
Net realized gain (loss) on total investments   619,003    801,964    (70,551)   39,709    (2,721)   18,997 
Net change in unrealized appreciation (depreciation) on total investments   (168,911)   2,384,274    (349,550)   150,734    (103,117)   (49,795)
Net increase (decrease) in net assets from operations   591,741    3,484,063    (233,130)   539,784    2,170    116,971 
FROM PARTICIPANT TRANSACTIONS
Premiums and contributions:  Class R1   103,160    236,397    74,335    155,840    35,243    69,648 
   Class R2   139,530    308,385    158,076    327,534    78,325    154,467 
   Class R3   176,696    372,915    224,878    487,490    131,926    256,823 
Net transfers between CREF Accounts  Class R1   (111,555)   (12,562)   (16,833)   109,837    (12,333)   11,522 
   Class R2   (67,151)   (66,983)   51,812    239,495    30,070    67,789 
   Class R3   (17,358)   62,438    157,286    341,833    84,368    112,192 
Withdrawals and death benefits  Class R1   (229,594)   (501,867)   (140,989)   (312,433)   (72,024)   (162,852)
   Class R2   (389,246)   (768,991)   (296,765)   (608,059)   (132,044)   (286,394)
   Class R3   (502,785)   (1,007,528)   (440,274)   (911,805)   (215,065)   (478,592)
Annuity payments:      (21,257)   (39,262)   (13,996)   (27,849)   (9,677)   (19,915)
Net increase (decrease) from participant transactions   (919,560)   (1,417,058)   (242,470)   (198,117)   (81,211)   (275,312)
Net increase (decrease) in net assets   (327,819)   2,067,005    (475,600)   341,667    (79,041)   (158,341)
NET ASSETS
Beginning of period   19,534,107    17,467,102    13,840,731    13,499,064    6,546,555    6,704,896 
End of period  $19,206,288   $19,534,107   $13,365,131   $13,840,731   $6,467,514   $6,546,555 
ACCUMULATION UNITS:
Units purchased:  Class R1   464,300    1,197,768    621,099    1,300,109    516,510    1,018,589 
   Class R2   622,252    1,551,881    1,310,906    2,713,650    1,139,159    2,245,476 
   Class R3   745,294    1,735,236    1,780,027    3,841,293    1,858,718    3,586,822 
Units sold / transferred:  Class R1   (1,542,810)   (2,592,555)   (1,321,605)   (1,694,376)   (1,235,978)   (2,212,715)
   Class R2   (2,035,571)   (4,186,789)   (2,033,116)   (3,062,047)   (1,482,816)   (3,176,740)
   Class R3   (2,289,989)   (4,742,130)   (2,334,987)   (4,702,871)   (1,882,553)   (5,279,162)
Outstanding:
Beginning of period   87,032,718    94,069,307    110,582,657    112,186,899    91,690,444    95,508,174 
End of period      82,996,194    87,032,718    108,604,981    110,582,657    90,603,484    91,690,444 

 

78 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 79
 
Statements of changes in net assets concluded

 

College Retirement Equities Fund  ■  For the period or year ended

 

      Social Choice Account  Money Market Account
(amounts in thousands except accumulation units)  June 30, 2018   December 31, 2017   June 30, 2018   December 31, 2017 
      (unaudited)      (unaudited)    
OPERATIONS                       
Net investment income (loss)     $174,494   $308,805   $45,142   $41,788 
Net realized gain (loss) on total investments      796,818    553,058    (5)   (3)
Net change in unrealized appreciation (depreciation) on total investments      (961,846)   989,572         
Net increase (decrease) in net assets from operations      9,466    1,851,435    45,137    41,785 
FROM PARTICIPANT TRANSACTIONS                       
Premiums and contributions:  Class R1   65,822    119,019    351,194    840,606 
   Class R2   111,035    225,417    404,499    753,090 
   Class R3   159,120    293,384    773,243    1,286,365 
Net transfers between CREF Accounts  Class R1   (60,705)   (14,789)   (25,016)   (81,617)
   Class R2   (55,397)   (51,616)   103,993    11,156 
   Class R3   64,326    71,683    200,728    52,635 
Withdrawals and death benefits  Class R1   (132,615)   (271,321)   (364,957)   (1,066,634)
   Class R2   (255,082)   (530,080)   (510,428)   (1,245,857)
   Class R3   (337,573)   (716,951)   (895,406)   (2,065,474)
Annuity payments:      (18,176)   (34,518)   (7,569)   (16,521)
Net increase (decrease) from participant transactions   (459,245)   (909,772)   30,281    (1,532,251)
Net increase (decrease) in net assets   (449,779)   941,663    75,418    (1,490,466)
NET ASSETS                       
Beginning of period      14,432,682    13,491,019    9,360,424    10,850,890 
End of period     $13,982,903   $14,432,682   $9,435,842   $9,360,424 
ACCUMULATION UNITS:                       
Units purchased:  Class R1   280,284    541,328    13,698,278    32,902,182 
   Class R2   468,550    1,019,875    15,733,739    29,428,852 
   Class R3   623,474    1,229,882    29,884,720    49,905,789 
Units sold / transferred:  Class R1   (824,191)   (1,302,201)   (15,208,588)   (44,947,545)
   Class R2   (1,311,160)   (2,631,542)   (15,806,945)   (48,263,532)
   Class R3   (1,151,455)   (2,916,334)   (26,883,075)   (77,878,520)
Outstanding:                       
Beginning of period      59,584,805    63,643,797    359,182,406    418,035,180 
End of period      57,670,307    59,584,805    360,600,535    359,182,406 

 

80 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 81
 

Financial highlights

 

College Retirement Equities Fund

 

      Selected per accumulation unit data       Ratios and supplemental data   
      Gain (loss) from investment operations                             
                        Net realized                   Ratios to average net assets       Accumulation     
   For the
period or
year
ended
  Investment
income
a  Expensesa  Net
investment
income
(loss
)a  & unrealized
gain (loss)
on total
investments
   Net
change in
accumulation
unit value
   Accumulation
unit value
beginning
of period
   Accumulation
unit value
end of
period
   Total
return
b  Gross
expenses
   Net
investment
income
(loss
)  Portfolio
turnover
rate
   units
outstanding
end of period
(in millions
)  Accumulation
fund net
assets
(in millions
)i
STOCK ACCOUNT                                         
Class R1:  6/30/18# $5.323   $1.321   $4.002   $  (0.013)  $   3.989   $483.507   $487.496   0.83%c  0.54%d  1.64%d  30%c  31   $  14,918 
   12/31/17  8.937   2.869   6.068   84.379   90.447   393.060   483.507   23.01   0.65   1.38   48   33   15,853 
   12/31/16  8.586   2.727   5.859   25.797   31.656   361.404   393.060   8.76   0.74   1.59   56   36   14,174 
   12/31/15h 8.076   2.108   5.968   (9.995)  (4.027)  365.431   361.404   (1.10)  0.57   1.60   52   39   14,153 
   12/31/14  7.897   1.620   6.277   15.744   22.021   343.410   365.431   6.41   0.46   1.77   58   306   111,823 
   12/31/13  6.581   1.476   5.105   69.661   74.766   268.644   343.410   27.83   0.48   1.68   59   330   113,325 
Class R2:  6/30/18# 5.370   0.864   4.506   (0.030)  4.476   487.075   491.551   0.92c  0.35d  1.83d  30c  74   36,620 
   12/31/17  8.990   1.736   7.254   84.893   92.147   394.928   487.075   23.33   0.39   1.64   48   78   38,159 
   12/31/16  8.610   1.724   6.886   25.913   32.799   362.129   394.928   9.06   0.47   1.87   56   86   33,996 
   12/31/15g  5.699   1.215   4.484   (30.621)  (26.137)  388.266   362.129   (6.73)c  0.48d  1.75d  52   94   33,974 
Class R3:  6/30/18# 5.392   0.775   4.617   (0.039)  4.576   488.295   492.871   0.94c  0.31d  1.87d  30c  120   59,045 
   12/31/17  9.010   1.395   7.615   85.073   92.688   395.607   488.295   23.43   0.32   1.72   48   124   60,531 
   12/31/16  8.619   1.346   7.273   25.956   33.229   362.378   395.607   9.17   0.36   1.97   56   136   53,821 
   12/31/15g 5.698   0.960   4.738   (30.626)  (25.888)  388.266   362.378   (6.67)c  0.38d   1.85d  52   148   53,614 
GLOBAL EQUITIES ACCOUNT                                         
Class R1:  6/30/18# 2.163   0.508   1.655   (3.119)  (1.464)  179.688   178.224   (0.81)c  0.56d  1.83d  54c  20   3,583 
   12/31/17  3.346   1.117   2.229   32.997   35.226   144.462   179.688   24.38   0.69   1.38   36   20   3,681 
   12/31/16  3.218   1.027   2.191   4.314   6.505   137.957   144.462   4.72   0.75   1.60   78   22   3,230 
   12/31/15h 3.077   0.823   2.254   (3.090)  (0.836)  138.793   137.957   (0.60)  0.58   1.59   49   24   3,312 
   12/31/14  3.394   0.623   2.771   2.779   5.550   133.243   138.793   4.17   0.46   2.04   59   136   18,808 
   12/31/13  2.590   0.616   1.974   26.579   28.553   104.690   133.243   27.27   0.52   1.67   63   141   18,770 
Class R2:  6/30/18# 2.183   0.339   1.844   (3.149)  (1.306)  181.007   179.701   (0.72)c  0.37d  2.02d  54c  39   7,030 
   12/31/17  3.365   0.700   2.665   33.198   35.863   145.144   181.007   24.71   0.43   1.64   36   39   7,131 
   12/31/16  3.228   0.655   2.573   4.341   6.914   138.230   145.144   5.00   0.48   1.87   78   43   6,224 
   12/31/15g 2.030   0.468   1.562   (11.301)  (9.739)  147.969   138.230   (6.58)c  0.48d   1.60d  49   47   6,435 
Class R3:  6/30/18# 2.193   0.305   1.888   (3.165)  (1.277)  181.461   180.184   (0.70)c  0.33d  2.07d  54c  54   9,731 
   12/31/17  3.372   0.574   2.798   33.270   36.068   145.393   181.461   24.81   0.35   1.71   36   53   9,558 
   12/31/16  3.232   0.514   2.718   4.350   7.068   138.325   145.393   5.11   0.37   1.98   78   57   8,324 
   12/31/15g  2.030   0.370   1.660   (11.304)  (9.644)  147.969   138.325   (6.52)d  0.38d  1.70d  49   62   8,527 

 

82 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 83
 
Financial highlights continued

 

College Retirement Equities Fund

 

      Selected per accumulation unit data       Ratios and supplemental data 
      Gain (loss) from investment operations                             
                         Net realized                   Ratios to average net assets       Accumulation     
   For the
period or
year
ended
  Investment
income
a  Expensesa  Net
investment
income
(loss
)a  & unrealized
gain (loss)
on total
investments
   Net
change in
accumulation
unit value
   Accumulation
unit value
beginning
of period
   Accumulation
unit value
end of
period
   Total
return
b  Gross
expenses
   Net
investment
income
(loss
)  Portfolio
turnover
rate
   units
outstanding
end of period
(in millions
)  Accumulation
fund net
assets
(in millions
)i
GROWTH ACCOUNT                                         
Class R1:  6/30/18# $1.023   $0.466   $0.557   $14.182   $14.739   $184.043   $198.782   8.01%c  0.48%d  0.58%d  35%c  25  $  4,969 
   12/31/17  1.818   0.977   0.841   43.121   43.962   140.081   184.043   31.38   0.60   0.52   48   26   4,841 
   12/31/16  1.782   0.902   0.880   2.577   3.457   136.624   140.081   2.53   0.67   0.65   64   28   3,941 
   12/31/15h 1.663   0.683   0.980   6.976   7.956   128.668   136.624   6.19   0.51   0.73   47   31   4,174 
   12/31/14  1.501   0.482   1.019   14.445   15.464   113.204   128.668   13.66   0.41   0.86   57   164   21,048 
   12/31/13  1.288   0.450   0.838   28.513   29.351   83.853   113.204   35.00   0.46   0.86   63   169   19,129 
Class R2:  6/30/18# 1.033   0.285   0.748   14.287   15.035   185.396   200.431   8.11c  0.29d  0.77d  35c  46   9,141 
   12/31/17  1.830   0.556   1.274   43.379   44.653   140.743   185.396   31.73   0.34   0.78   48   47   8,788 
   12/31/16  1.788   0.534   1.254   2.593   3.847   136.896   140.743   2.81   0.39   0.93   64   51   7,172 
   12/31/15g 1.117   0.380   0.737   (1.993)  (1.256)  138.152   136.896   (0.91)c  0.41d   0.79d  47   55   7,594 
Class R3:  6/30/18# 1.037   0.248   0.789   14.322   15.111   185.860   200.971   8.13c  0.26d  0.81d  35c  61   12,276 
   12/31/17  1.834   0.429   1.405   43.471   44.876   140.984   185.860   31.83   0.26   0.86   48   62   11,524 
   12/31/16  1.790   0.395   1.395   2.599   3.994   136.990   140.984   2.92   0.29   1.03   64   67   9,424 
   12/31/15g 1.117   0.287   0.830   (1.992)  (1.162)  138.152   136.990   (0.84)c  0.31d   0.89d   47   73   10,027 
EQUITY INDEX ACCOUNT                                         
Class R1:  6/30/18# 1.940   0.507   1.433   5.091   6.524   218.005   224.529   2.99c  0.46d  1.30d  1c  17   3,787 
   12/31/17  3.836   1.126   2.710   34.271   36.981   181.024   218.005   20.43   0.57   1.37   4   18   3,912 
   12/31/16  3.648   1.044   2.604   16.892   19.496   161.528   181.024   12.07   0.63   1.56   4   19   3,501 
   12/31/15h 3.254   0.765   2.489   (2.523)  (0.034)  161.562   161.528   (0.02)  0.47   1.52   5   20   3,260 
   12/31/14  2.937   0.558   2.379   15.145   17.524   144.038   161.562   12.17   0.37   1.58   4   104   16,841 
   12/31/13  2.546   0.531   2.015   33.715   35.730   108.308   144.038   32.99   0.42   1.59   5   108   15,563 
Class R2:  6/30/18# 1.957   0.300   1.657   5.127   6.784   219.607   226.391   3.09c  0.27d  1.49d  1c  29   6,595 
   12/31/17  3.859   0.612   3.247   34.480   37.727   181.880   219.607   20.74   0.31   1.63   4   31   6,708 
   12/31/16  3.662   0.591   3.071   16.959   20.030   161.850   181.880   12.38   0.35   1.84   4   33   6,035 
   12/31/15g 2.443   0.414   2.029   (8.184)  (6.155)  168.005   161.850   (3.66)c  0.37d  1.81d  5   35   5,667 
Class R3:  6/30/18# 1.962   0.259   1.703   5.142   6.845   220.154   226.999   3.11c  0.23d  1.53d  1c  37   8,399 
   12/31/17  3.869   0.458   3.411   34.551   37.962   182.192   220.154   20.84   0.23   1.71   4   39   8,486 
   12/31/16  3.667   0.419   3.248   16.983   20.231   161.961   182.192   12.49   0.25   1.94   4   42   7,570 
   12/31/15g 2.443   0.302   2.141   (8.185)  (6.044)  168.005   161.961   (3.60)c  0.27d   1.90d  5   44   7,061 

 

84 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 85
 
Financial highlights continued

 

College Retirement Equities Fund

 

      Selected per accumulation unit data       Ratios and supplemental data 
      Gain (loss) from investment operations                                     
                  Net realized                   Ratios to average net assets      Portfolio   Accumulation     
   For the
period or
year
ended
  Investment
income
a   Expensesa   Net
investment
income
(loss
)a   & unrealized
gain (loss
on total
investments

)

 

 

  Net
change in
accumulation
unit value
   Accumulation
unit value
beginning
of period
   Accumulation
unit value
end of
period
   Total
return
b   Gross
expenses
   Net
investment
income
(loss
)   Portfolio
turnover
rate
   turnover rate
excluding
mortgage
dollar rolls
   units
outstanding
end of period
(in millions
)   Accumulation
fund net
assets
(in millions
)i 
BOND MARKET ACCOUNT                                                     
Class R1:  6/30/18#  $ 1.917    $ 0.323    $ 1.594    $ (3.748)   $ (2.154)   $121.672    $ 119.518    (1.77)%c    0.54%d    2.69%d    66%c    56%c    17    $   2,086 
   12/31/17   3.517    0.764    2.753    1.670    4.423    117.249    121.672    3.77    0.64    2.30    140    96    18    2,209 
   12/31/16   3.430    0.827    2.603    0.897    3.500    113.749    117.249    3.08    0.70    2.21    240    131    19    2,175 
   12/31/15h   3.015    0.637    2.378    (2.100)   0.278    113.471    113.749    0.25    0.56    2.07    293    123    19    2,149 
   12/31/14   2.665    0.494    2.171    3.764    5.935    107.536    113.471    5.52    0.44    1.95    290    89    117    13,254 
   12/31/13   2.485    0.482    2.003    (4.211)   (2.208)   109.744    107.536    (2.01)   0.45    1.85    363    105    119    12,814 
Class R2:  6/30/18#   1.932    0.211    1.721    (3.776)   (2.055)   122.564    120.509    (1.68)c    0.35d    2.88d    66c    56c    39    4,650 
   12/31/17   3.539    0.453    3.086    1.676    4.762    117.802    122.564    4.04    0.38    2.56    140    96    39    4,818 
   12/31/16   3.442    0.506    2.936    0.892    3.828    113.974    117.802    3.36    0.43    2.48    240    131    40    4,672 
   12/31/15g   2.181    0.369    1.812    (3.573)   (1.761)   115.735    113.974    (1.52)c    0.47d    2.31d    293    123    40    4,599 
Class R3:  6/30/18#   1.937    0.189    1.748    (3.788)   (2.040)   122.871    120.831    (1.66)c    0.32d    2.92d    66c    56c    53    6,351 
   12/31/17   3.546    0.360    3.186    1.681    4.867    118.004    122.871    4.12    0.30    2.63    140    96    53    6,527 
   12/31/16   3.446    0.385    3.061    0.891    3.952    114.052    118.004    3.47    0.32    2.58    240    131    54    6,370 
   12/31/15g   2.182    0.292    1.890    (3.573)   (1.683)   115.735    114.052    (1.45)c    0.37d    2.41d    293    123    55    6,237 
INFLATION-LINKED BOND ACCOUNT                                                                  
Class R1:  6/30/18#   1.235    0.159    1.076    (1.110)   (0.034)   68.761    68.727    (0.05)c    0.47d    3.18d    14c    14c    14    991 
   12/31/17   1.731    0.395    1.336    (0.315)   1.021    67.740    68.761    1.51    0.58    1.95    18    18    15    1,041 
   12/31/16   1.465    0.433    1.032    1.474    2.506    65.234    67.740    3.84    0.64    1.52    23    23    16    1,107 
   12/31/15h   (0.930)   0.324    (1.254)   (0.034)   (1.288)   66.522    65.234    (1.94)   0.48    (1.87)   6    6    17    1,127 
   12/31/14   1.573    0.257    1.316    0.824    2.140    64.382    66.522    3.32    0.39    1.97    9    9    107    7,143 
   12/31/13   1.207    0.301    0.906    (7.289)   (6.383)   70.765    64.382    (9.02)   0.45    1.34    13    13    115    7,404 
Class R2:  6/30/18#   1.249    0.095    1.154    (1.123)   0.031    69.265    69.296    0.05c    0.28d    3.38d    14c    14c    30    2,073 
   12/31/17   1.743    0.218    1.525    (0.319)   1.206    68.059    69.265    1.77    0.32    2.22    18    18    30    2,096 
   12/31/16   1.471    0.249    1.222    1.475    2.697    65.362    68.059    4.13    0.37    1.80    23    23    31    2,123 
   12/31/15g   1.272    0.185    1.087    (3.973)   (2.886)   68.248    65.362    (4.23)c    0.41d    2.38d    6    6    32    2,118 
Class R3:  6/30/18#   1.254    0.083    1.171    (1.127)   0.044    69.437    69.481    0.06c    0.24d    3.43d    14c    14c    46    3,215 
   12/31/17   1.746    0.165    1.581    (0.320)   1.261    68.176    69.437    1.85    0.24    2.29    18    18    46    3,214 
   12/31/16   1.480    0.179    1.301    1.468    2.769    65.407    68.176    4.23    0.26    1.91    23    23    48    3,271 
   12/31/15g   1.274    0.140    1.134    (3.975)   (2.841)   68.248    65.407    (4.16)c    0.31d    2.48d    6    6    49    3,222 

 

86 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 87
 
Financial highlights continued

 

College Retirement Equities Fund

 

      Selected per accumulation unit data       Ratios and supplemental data 
      Gain (loss) from investment operations                                     
                  Net realized                   Ratios to average net assets      Portfolio   Accumulation     
   For the
period or
year
ended
  Investment
income
a   Expensesa   Net
investment
income
(loss
)a   & unrealized
gain (loss
on total
investments

)

 

 

  Net
change in
accumulation
unit value
   Accumulation
unit value
beginning
of period
   Accumulation
unit value
end of
period
   Total
return
b   Gross
expenses
   Net
investment
income
(loss
)   Portfolio
turnover
rate
   turnover rate
excluding
mortgage
dollar rolls
   units
outstanding
end of period
(in millions
)   Accumulation
fund net
assets
(in millions
)i 
SOCIAL CHOICE ACCOUNT                                                                  
Class R1:  6/30/18#   $ 3.274    $ 0.572    $ 2.702    $ (2.782)   $ (0.080)   $ 234.195    $ 234.115    (0.03)%c    0.49%d    2.32%d    35%c    32%c    10    $   2,298 
   12/31/17   5.627    1.327    4.300    24.249    28.549    205.646    234.195    13.88    0.60    1.95    53    37    10    2,426 
   12/31/16   5.437    1.336    4.101    9.343    13.444    192.202    205.646    7.00    0.68    2.07    93    50    11    2,287 
   12/31/15h   4.618    1.017    3.601    (5.795)   (2.194)   194.396    192.202    (1.13)   0.52    1.83    115    57    12    2,290 
   12/31/14   4.446    0.773    3.673    8.760    12.433    181.963    194.396    6.83    0.41    1.95    120    52    72    14,017 
   12/31/13   3.804    0.757    3.047    22.950    25.997    155.966    181.963    16.67    0.45    1.79    133    46    72    13,016 
Class R2:  6/30/18#   3.302    0.352    2.950    (2.810)   0.140    235.915    236.055    0.06c    0.30d    2.51d    35c    32c    21    4,886 
   12/31/17   5.661    0.757    4.904    24.394    29.298    206.617    235.915    14.18    0.34    2.21    53    37    22    5,082 
   12/31/16   5.456    0.799    4.657    9.377    14.034    192.583    206.617    7.29    0.40    2.35    93    50    23    4,784 
   12/31/15g   3.229    0.560    2.669    (11.025)   (8.356)   200.939    192.583    (4.16)c    0.42d    1.99d    115    57    25    4,750 
Class R3:  6/30/18#   3.314    0.310    3.004    (2.820)   0.184    236.504    236.688    0.08c    0.26d    2.55d    35c    32c    27    6,427 
   12/31/17   5.673    0.586    5.087    24.445    29.532    206.972    236.504    14.27    0.26    2.29    53    37    28    6,547 
   12/31/16   5.461    0.594    4.867    9.391    14.258    192.714    206.972    7.40    0.30    2.45    93    50    29    6,078 
   12/31/15g   3.230    0.427    2.803    (11.028)   (8.225)   200.939    192.714    (4.09)c    0.32d    2.09d    115    57    31    5,984 

 

88 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 89
 
Financial highlights concluded

 

College Retirement Equities Fund

 

      Selected per accumulation unit data       Ratios and supplemental data 
      Gain (loss) from investment operations                                   
                  Net realized                   Ratios to average net assets      Accumulation     
   For the
period or
year
ended
  Investment
income
a  Expensesa  Net
investment
income
(loss
)a  & unrealized
gain (loss)
on total
investments
   Net
change in
accumulation
unit value
   Accumulation
unit value
beginning
of period
   Accumulation
unit value
end of
period
   Total
return
b  Gross
expenses
   Expenses
net of
TIAA
withholding
   Net
investment
income
(loss
  units
outstanding
end of period
(in millions
  Accumulation
fund net
assets
(in millions
)i
MONEY MARKET ACCOUNT                                                
Class R1:  6/30/18#   $ 0.201    $ 0.095    $ 0.106    $ 0.002    $ 0.108    $ 25.596    $ 25.704    0.41%c    0.46%d    0.75%d    0.83%d    70    $   1,811 
   12/31/17   0.227    0.165    0.062    0.000    0.062    25.534    25.596    0.25    0.57    0.64    0.32    72    1,842 
   12/31/16   0.111    0.111    0.000    0.000    0.000    25.534    25.534    0.00    0.64    0.43    0.00    84    2,145 
   12/31/15h   0.036    0.036    0.000    0.000    0.000    25.534    25.534    0.00    0.50    0.14    0.00    87    2,225 
   12/31/14   0.029    0.029    0.000    0.000    0.000    25.534    25.534    0.00    0.39    0.11    0.00    441    11,261 
   12/31/13   0.036    0.036    0.000    0.000    0.000    25.534    25.534    0.00    0.41    0.14    0.00    461    11,774 
Class R2:  6/30/18#   0.201    0.077    0.124    0.000    0.124    25.662    25.786    0.49c    0.28d    0.61d    0.97d    111    2,849 
   12/31/17   0.227    0.116    0.111    0.002    0.113    25.549    25.662    0.44    0.31    0.45    0.58    111    2,838 
   12/31/16   0.111    0.096    0.015    0.000    0.015    25.534    25.549    0.06    0.36    0.37    0.08    129    3,306 
   12/31/15g   0.030    0.030    0.000    0.000    0.000    25.534    25.534    0.00c    0.40d    0.17d    0.00d    137    3,507 
Class R3:  6/30/18#   0.202    0.074    0.128    0.000    0.128    25.695    25.823    0.50c    0.24d    0.58d    1.01d    180    4,639 
   12/31/17   0.228    0.102    0.126    0.002    0.128    25.567    25.695    0.50    0.23    0.40    0.66    177    4,539 
   12/31/16   0.111    0.078    0.033    0.000    0.033    25.534    25.567    0.13    0.26    0.30    0.17    205    5,231 
   12/31/15g   0.030    0.030    0.000    0.000    0.000    25.534    25.534    0.00c    0.30d    0.17d    0.00d    215    5,499 

 

# Unaudited
a Based on average units outstanding.
b Based on per accumulation unit data.
c The percentages shown for this period are not annualized.
d The percentages shown for this period are annualized.
g Classes R2 and R3 commenced operations on April 24, 2015.
h Prior to April 24, 2015, CREF offered only one class of units, which became Class R1 on that date.
i Does not include annuity net assets.

 

90 2018 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2018 Semiannual Report 91
 

Notes to financial statements (unaudited)

 

College Retirement Equities Fund

 

Note 1—organization and significant accounting policies

 

The purpose of the College Retirement Equities Fund (“CREF”), as stated in its charter, is to aid and strengthen non-profit educational and research organizations, governmental entities, and other non-profit institutions by providing their employees with variable retirement benefits. CREF is registered with the U.S. Securities and Exchange Commission (“Commission”) under the Investment Company Act of 1940, as amended (“1940 Act”), as an open-end management investment company. It consists of eight investment portfolios: the Stock, Global Equities, Growth, Equity Index, Bond Market, Inflation-Linked Bond, Social Choice and Money Market Accounts (individually referred to as the “Account” or collectively referred to as the “Accounts”).

 

The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”), which may require the use of estimates made by management and the evaluation of subsequent events. Actual results may differ from those estimates. The Accounts are investment companies and follow the accounting guidance in the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification 946, Financial Services—Investment Companies. The Accumulation Unit Value (“AUV”) for financial reporting purposes may differ from the AUV for processing transactions. The AUV for financial reporting purposes includes security and participant transactions through the date of the report. Total return is computed based on the AUV used for processing transactions. The following is a summary of the significant accounting policies consistently followed by the Accounts.

 

Security valuation: For all Accounts (other than the Money Market Account), investments in securities are recorded at their estimated fair value as described in the valuation of investments note to the financial statements. Investments held by the Money Market Account are recorded at amortized cost, which approximates fair value. The amortized cost of an instrument is determined by valuing it at its original cost and thereafter accreting or amortizing any discount or premium to its face value at a constant rate until maturity.

 

Accumulation and Annuity Funds: The Accumulation Fund represents the net assets attributable to participants in the accumulation phase of their investment. The Annuity Fund represents the net assets attributable to the participants currently receiving annuity payments. The net increase or decrease in net assets from investment operations is apportioned between the funds based upon their relative daily net asset values. Annuitants bear the mortality risk under their contracts. Initial annuity payments are calculated based on the value of a participant’s accumulation on the last valuation day before the annuity start date, the income option chosen, an assumed annual investment return, and expense and mortality assumptions. Annuity payments vary after the initial payment based on investment performance, Account expenses, and mortality experience. Death benefits are paid to beneficiaries if the annuitant dies during the accumulation period, or during the annuity period while payments are still due for the remainder of a guaranteed period.

 

92 2018 Semiannual Report  ■  College Retirement Equities Fund
 

Investments and investment income: Securities transactions are accounted for as of the trade date for financial reporting purposes. Interest income is recorded as earned and includes accretion of discounts and amortization of premiums using the effective yield method. Dividend income is recorded on the ex-dividend date. Foreign dividend income is recorded on the ex-dividend date or as soon as possible after the Accounts determine the existence of a dividend declaration after exercising reasonable due diligence. Realized gains and losses on securities transactions are based upon the specific identification method. Distributions received on securities that represent a return of capital or capital gains are recorded as a reduction of cost of investments and/or as a realized gain.

 

Income, expenses, realized gains and losses and unrealized appreciation and depreciation of an Account are allocated on a pro rata basis to each class, except for administrative service fees and distribution fees, which are unique to each class of each Account. Most expenses of CREF can be directly attributed to an Account or class. Expenses that cannot be directly attributed are allocated based upon the average net assets of each Account or class.

 

Foreign currency transactions and translation: Assets, including investments, and liabilities denominated in foreign currencies are translated into U.S. dollar values each day using exchange rates obtained from an independent third party. Purchases and sales of securities, income, and expenses are translated into U.S. dollars at the prevailing exchange rate on the date of the transaction. The effect of changes in foreign currency exchange rates on realized and unrealized security gains and losses is reflected as a component of security gains and losses.

 

Income taxes: CREF is taxed as a life insurance company under Subchapter L of the Internal Revenue Code. CREF should incur no federal income tax liability. Under the rules of taxation applicable to life insurance companies, CREF’s Accumulation and Annuity Funds for participants will generally be treated as life insurance reserves; therefore, any increase in such reserves will be deductible. CREF files income tax returns in U.S. federal and applicable state jurisdictions. CREF’s federal income tax return is generally subject to examination for a period of three fiscal years after being filed. State and local tax returns may be subject to examination for an additional period of time depending on the jurisdiction. Management has analyzed the Accounts’ tax positions taken for all open federal income tax years and has concluded that no provision for federal income tax is required in the Accounts’ financial statements.

 

Foreign taxes: The Accounts may be subject to foreign taxes on income, gains on investments or currency repatriation, a portion of which may be recoverable. The Accounts will accrue such taxes and recoveries as applicable, based upon the current interpretation of tax rules and regulations that exist in the markets in which the Accounts invest.

 

Trustee compensation: The Accounts pay the members of the Board of Trustees (“Board”), all of whom are independent, certain remuneration for their services, plus

 

College Retirement Equities Fund  ■  2018 Semiannual Report 93
 

Notes to financial statements (unaudited)

 

travel and other expenses. Trustees may elect to participate in a deferred compensation plan and defer all or a portion of their compensation. In addition, trustees participate in a long-term compensation plan. Amounts deferred are retained by the Accounts until paid. Amounts payable to the trustees for compensation are included separately in the accompanying Statements of Assets and Liabilities. Trustees’ fees, including any deferred and long-term compensation incurred, are reflected in the Statements of Operations.

 

New rule issuances: In October 2016, the Commission issued Final Rule Release No. 33-10231, Investment Company Reporting Modernization. This final rule modernizes investment company reporting by requiring the filing of new Forms N-CEN and N-PORT, and amends Regulation S-X disclosures related to derivatives and other disclosures in the financial statements and various filings. The requirements of this final rule in relation to Form N-CEN must be complied with by June 1, 2018. In December 2017, the Commission issued Temporary Final Rule Release No. 33-10442, which delayed the filing requirements related to Form N-PORT from June 1, 2018 to April 1, 2019, but still requires the Accounts to maintain the data that would have been filed on Form N-PORT during the deferral period. Form N-CEN and the data requirements of Form N-PORT were implemented on June 1, 2018 and did not have an impact on net assets or results of operations.

 

In October 2016, the Commission issued Final Rule Release No. 33-10233, Investment Company Liquidity Risk Management Programs. This final rule requires accounts to establish a liquidity risk management program and enhances disclosures regarding accounts’ liquidity. The requirements of this final rule, in relation to the implementation of the liquidity risk management program and the 15% illiquid investment limit, must be adopted by December 1, 2018. In February 2018, the Commission issued Release No. IC-33010, which delayed the compliance requirements related to liquidity classification, highly liquid investment minimums, and board approval of the liquidity risk management programs from December 1, 2018 to June 1, 2019. Management is currently assessing the impact of this rule to the Accounts’ financial statements and various filings.

 

Note 2—valuation of investments

 

Portfolio investments are valued at fair value utilizing various valuation methods approved by the Board. U.S. GAAP establishes a hierarchy that prioritizes market inputs to valuation methods. The three levels of inputs are:

 

Level 1 –  quoted prices in active markets for identical securities
Level 2 – other significant observable inputs (including quoted prices for similar securities, interest rates, credit spreads, etc.)
Level 3 – significant unobservable inputs (including the Accounts’ own assumptions in determining the fair value of investments)

 

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, for example, the type of security, whether the

 

94 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized as Level 3. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

A description of the valuation techniques applied to the Accounts’ major categories of assets and liabilities measured at fair value follows:

 

Exchange-traded equity securities, common and preferred stock: Equity securities listed or traded on a national market or exchange are valued based on their sale price at the official close of business of such market or exchange on the valuation date, or if there is no official close of business, the latest sale price, or at the mean of the latest available bid and asked prices if no sale is reported. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized in Level 1 of the fair value hierarchy. Foreign equity securities are valued at the last sale price or official closing price reported on the exchange where traded and converted to U.S. dollars at the prevailing rates of exchange on the date of valuation. For events affecting the value of foreign securities between the time when the exchange on which they are traded closes and the time when the Accounts’ net assets are calculated, such securities will be valued at fair value in accordance with procedures adopted by the Board. Foreign securities are generally categorized as Level 2 of the fair value hierarchy.

 

Debt securities: Debt securities, including equity-linked notes, will generally be valued using prices provided by a pricing service that may employ various indications of value including but not limited to broker-dealer quotations. Certain debt securities, other than money market instruments, are valued based on the most recent bid price or the equivalent quoted yield for such securities (or those of comparable maturity, quality and type). Debt securities are generally categorized as Level 2 of the fair value hierarchy; in instances where prices, yields or any other key inputs are unobservable, they are categorized as Level 3 of the hierarchy.

 

The Money Market Account: The Money Market Account’s portfolio securities are valued on an amortized cost basis. Money Market investments are generally categorized as Level 2 of the fair value hierarchy.

 

Investments in registered investment companies: These investments are valued at their net asset value on the valuation date. These investments are categorized as Level 1 of the fair value hierarchy.

 

Futures contracts: Stock and bond index futures contracts, which are traded on commodity exchanges, are valued at the last sale price as of the close of such commodity exchanges and are categorized as Level 1 of the fair value hierarchy.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 95
 

Notes to financial statements (unaudited)

 

Options: Purchased and written options traded over the counter and listed on a national market or exchange are valued at the last sale price as of the close of such exchange or at the mean of the closing bid and asked prices if no sale is reported. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized as Level 1 of the fair value hierarchy.

 

Total return swap contracts: Total return swap contracts are marked-to-market daily based upon a price supplied by a pricing service. Total return swaps are generally categorized as Level 2 in the fair value hierarchy.

 

Forward foreign currency contracts: Forward foreign currency contracts are valued using the prevailing forward exchange rate and are categorized as Level 2 of the fair value hierarchy.

 

Any portfolio security for which market quotations are not readily available or for which the above valuation procedures are deemed not to reflect fair value are valued at fair value, as determined in good faith using procedures approved by the Board. To the extent the inputs are observable and timely, the values would be categorized as Level 2 of the fair value hierarchy; otherwise they would be categorized as Level 3.

 

Transfers between levels are recognized at the end of the reporting period. For the period ended June 30, 2018, there were no material transfers between levels by the Accounts.

 

As of June 30, 2018, 100% of the value of investments in the Inflation-Linked Bond Account and Money Market Account were valued based on Level 2 inputs.

 

The following table summarizes the market value of the Accounts’ investments as of June 30, 2018, based on the inputs used to value them (dollar amounts are in thousands):

 

96 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

Account  Level 1   Level 2   Level 3   Total 
Stock                    
Equity investments:                    
Consumer discretionary  $11,278,128   $4,672,221   $110   $15,950,459 
Consumer staples   5,095,098    3,120,452    158    8,215,708 
Energy   5,629,037    2,391,991    929    8,021,957 
Financials   12,319,795    7,086,522    349    19,406,666 
Health care   11,695,724    2,703,637    125    14,399,486 
Industrials   8,837,574    4,305,858    770    13,144,202 
Information technology   22,372,278    3,981,288    188    26,353,754 
Materials   2,917,881    3,333,534    4,819    6,256,234 
Real estate   2,781,279    1,553,268    8,014    4,342,561 
Telecommunication services   1,238,910    1,074,742    13    2,313,665 
Utilities   2,254,345    919,060        3,173,405 
Government bonds       290        290 
Equity-linked notes       10,759        10,759 
Short-term investments       2,840,494        2,840,494 
Purchased options**   665            665 
Written options**   (989)           (989)
Forward foreign currency contracts**       420        420 
Futures contracts**   (2,873)           (2,873)
Total  $86,416,852   $37,994,536   $15,475   $124,426,863 
Global Equities                    
Equity investments:                    
Asia  $266,030   $2,012,506   $12   $2,278,548 
Australasia       295,412        295,412 
Europe   113,839    3,132,675        3,246,514 
North America   11,585,255    530,959        12,116,214 
All other equity investments*   231,425    2,220,689    668    2,452,782 
Short-term investments       510,424        510,424 
Written options**   (115)           (115)
Futures contracts**   (2,655)           (2,655)
Total  $12,193,779   $8,702,665   $680   $20,897,124 
Growth                    
Equity investments:                    
Consumer discretionary  $4,515,236   $313,541   $   $4,828,777 
Consumer staples   1,022,149    32,832        1,054,981 
Health care   3,257,246    146,377        3,403,623 
Industrials   2,606,672    170,543        2,777,215 
Information technology   12,516,832    255,904        12,772,736 
Telecommunication services   27,194    13,739        40,933 
All other equity investments*   1,845,923            1,845,923 
Short-term investments   210,413    65,002        275,415 
Total  $26,001,665   $997,938   $   $26,999,603 

 

College Retirement Equities Fund  ■  2018 Semiannual Report 97
 

Notes to financial statements (unaudited)

 

Account  Level 1   Level 2   Level 3   Total 
Equity Index                    
Equity investments:                    
Consumer discretionary  $2,512,507   $6   $   $2,512,513 
Financials   2,723,102        11    2,723,113 
Health care   2,620,660        13    2,620,673 
Industrials   1,964,893        119    1,965,012 
All other equity investments *   9,304,924            9,304,924 
Short-term investments   281,403    67,885        349,288 
Futures contracts**   (1,060)           (1,060)
Total  $19,406,429   $67,891   $143   $19,474,463 
Bond Market                    
Bank loan obligations  $   $19,660   $   $19,660 
Corporate bonds       4,210,547    1,592    4,212,139 
Government bonds       6,239,708        6,239,708 
Structured assets       2,490,618    4,760    2,495,378 
Preferred stocks   12,592            12,592 
Short-term investments       101,056        101,056 
Forward foreign currency contracts**        (112)       (112)
Total  $12,592   $13,061,477   $6,352   $13,080,421 
Social Choice                    
Equity investments:                    
Consumer discretionary  $720,977   $306,806   $   $1,027,783 
Consumer staples   386,929    227,409        614,338 
Energy   344,431    167,686        512,117 
Financials   967,670    555,540    6    1,523,216 
Health care   772,582    227,588        1,000,170 
Industrials   669,894    291,098        960,992 
Information technology   1,310,559    153,260        1,463,819 
Materials   214,936    218,679        433,615 
Real estate   239,849    80,842        320,691 
Telecommunication services   50,108    96,064        146,172 
Utilities   194,959    81,259        276,218 
Bank loan obligations       31,787    13,000    44,787 
Corporate bonds       1,887,397        1,887,397 
Government bonds       3,067,927    30,568    3,098,495 
Structured assets       470,283    65,327    535,610 
Short-term investments   232,695    60,781        293,476 
Total  $6,105,589   $7,924,406   $108,901   $14,138,896 
* For detailed categories, see the accompanying Summary portfolio of investments.
** Derivative instruments, excluding purchased options, are not reflected in the market value of portfolio investments.

 

Note 3—derivative instruments

 

As defined by U.S. GAAP, a derivative is a financial instrument whose value is derived from an underlying security price, foreign exchange rate, interest rate, index of prices or rates, or other variables. Derivatives require little or no initial investment and permit or require net settlement. The Accounts value derivatives at fair value.

 

98 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

At June 30, 2018, the following Accounts have invested in derivative contracts which are reflected in the Statements of Assets and Liabilities as follows (dollar amounts are in thousands):

 

   Asset derivatives   Liabilities derivatives 
Derivative contract  Location  Fair value
amount
   Location  Fair value
amount
 
Stock Account                
Equity contracts  Portfolio investments   $665   Futures contracts*   $(2,873)
Foreign exchange contracts  Forward foreign
currency contracts
   420   Written options   (989)
Global Equities Account                
Equity contracts          Futures contracts*   (2,655)
Equity contracts          Written options   (115)
Equity Index Account                
Equity contracts          Futures contracts*   (1,060)
Bond Market Account          Forward foreign     
Foreign exchange contracts          currency contracts   (112)
Inflation-Linked Bond Account                
Interest-rate contracts          Futures contracts*   (59)

 

* The fair value presented includes cumulative gain (loss) on open futures contracts; however, the value reflected on the accompanying Statements of Assets and Liabilities is only the receivable or payable for variation margin on open futures contracts.

 

For the period ended June 30, 2018, the effect of derivative contracts on the Accounts’ Statements of Operations was as follows (dollar amounts are in thousands):

 

Derivative contract  Location  Realized
gain (loss
)  Change in
unrealized
appreciation
(depreciation
)
Stock Account             
Equity contracts  Futures contracts  $3,013   $(5,178)
Equity contracts  Purchased options   (5,561)   (297)
Equity contracts  Written options   10,612    901 
Equity contracts  Swap contracts   (3,015)   190 
Foreign-exchange contracts  Forward foreign
currency contracts
   14    420 
Global Equities Account             
Equity contracts  Futures contracts   13,891    (6,833)
Equity contracts  Written options   107    9 
Equity Index Account             
Equity contracts  Futures contracts   3,304    (1,789)
Bond Market Account             
Foreign-exchange contracts  Forward foreign
currency contracts
   3,632    1,038 
Inflation-Linked Bond Account             
Equity contracts  Futures contracts   392    (96)

 

College Retirement Equities Fund  ■  2018 Semiannual Report 99
 

Notes to financial statements (unaudited)

 

Futures contracts: Certain Accounts are subject to equity price risk in the normal course of pursuing their investment objectives. The Accounts use futures contracts to manage exposure to the equity markets and for cash management purposes to remain highly invested in these markets while minimizing transaction costs. Buying futures contracts tends to increase exposure to the underlying instrument/index, while selling futures contracts tends to decrease exposure to the underlying instrument/index or hedge other investments. Initial margin deposits are made upon entering into a futures contract, and variation margin receipts or payments are settled daily reflecting changes in the value of the futures contracts. Daily changes in the value of such contracts are reflected in net unrealized gains and losses. Gains or losses are realized upon the expiration or closing of the futures contracts or if the counterparties do not perform in accordance with contractual provisions. With futures contracts, there is minimal counterparty credit risk to the Accounts since futures contracts are exchange-traded and the exchange’s clearinghouse, as counterparty to all exchange-traded funds, guarantees the futures contracts against default. During the period ended June 30, 2018, the Stock Account, Global Equities Account, Equity Index Account, and Inflation-Linked Bond Account had exposure to futures contracts, based on underlying notional values, generally between 0% and 1% of net assets. The futures contracts outstanding as of June 30, 2018 are disclosed in the summary portfolio of investments and the full schedules of investments.

 

Options: Certain Accounts are subject to equity price risk in the normal course of pursuing their investment objectives. Options can be settled either directly with the counterparty (over the counter) or through a central clearing house (exchange traded). To manage the risk, the Accounts may invest in both equity and index options. The Accounts use options contracts for hedging and cash management purposes and to seek to increase total return. Call and put equity options give the holder the right, in return for a premium paid, to purchase or sell, respectively, a security at a specified exercise price at any time during the period of the option. Index options are written or purchased options in which the underlying investment is a specified index. The exercise of an index option will not result in the physical delivery of the underlier, but a cash transfer of the difference between the settlement price of the underlier and the strike price of the option. Purchased options are included in the summary portfolio of investments, and written options are separately reflected as a liability in the Statements of Assets and Liabilities. Premiums on unexercised, expired options are recorded as realized gains or losses; premiums on exercised options are recorded as an adjustment to the proceeds from the sale or cost of the purchase. The difference between the premium and the amount received or paid in a closing transaction is also treated as a realized gain or loss. Risks may arise upon entering into over the counter options from the potential of default by counterparty. Also, risks related to the use of options include possible illiquidity of the options markets, price movements in underlying security values, and losses that may exceed amounts recognized on the Statements of Assets and Liabilities. During the period ended June 30, 2018, the Stock Account and the Global Equities Account had exposure to options, based on underlying notional values, generally between 0%

 

100 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

and 1% of net assets. The purchased and written options outstanding as of June 30, 2018 are disclosed in the summary portfolio of investments and the full schedules of investments.

 

Total return swap contracts: Total return swaps are agreements that provide an Account with a return based on the performance of an underlying asset, in exchange for fee payments to a counterparty based on a specific rate. To the extent the total return of the reference security or index underlying the total return swap exceeds or falls short of the offsetting interest rate obligation, the Account will receive a payment or make a payment to the counterparty, respectively. Payments received or made at the end of each measurement period are recorded as a realized gain or loss in the Statements of Operations. The swap is valued daily and any change in the value of the swap is reflected separately as a change in unrealized appreciation (depreciation) in the Statements of Operations. The value of the swap contract is reflected in unrealized appreciation (depreciation) on swap agreements in the Statements of Assets and Liabilities. Total return swaps are exposed to the market risk factor of the specific underlying financial instrument or index. Additional risks to the Account include the possibility that there is no liquid market for these agreements or that the counterparty may default on its obligation to perform. The Account’s maximum loss from counterparty risk is the fair value of the contract. Certain Accounts may invest in total return swaps to gain or hedge exposure to the underlying reference assets. During the period ended June 30, 2018, the Stock Account had exposure to total return swaps, based on underlying notional amounts, generally between 0% and 1% of net assets. There are no total return swap contracts outstanding as of June 30, 2018.

 

Forward foreign currency contracts: Certain Accounts are subject to foreign exchange risk in the normal course of pursuing their investment objectives. The Accounts use forward foreign currency contracts (“forwards”), including non-deliverable forwards (“NDFs”), to, among other things, hedge portfolio currency risk and to facilitate transactions in securities denominated in foreign currencies. Forwards are over-the-counter (“OTC”) commitments that involve an obligation to purchase or sell a fixed amount of a specific currency on a future date at a locked exchange rate. NDFs allow hedging of currencies where government regulations restrict foreign access to local currency or the parties want to compensate for risk without a physical exchange of funds. Forwards are marked-to-market daily at the applicable foreign exchange rate, and any resulting unrealized gains or losses are recorded as appreciation or depreciation in the Statements of Assets and Liabilities. The Accounts realize gains and losses at the time the forward is closed. Realized and unrealized gains and losses are included in the Statements of Operations. Risks may arise upon entering into these contracts from the potential inability of counterparties to meet the terms of their contracts; from unanticipated movements in the value of a foreign currency relative to the U.S. dollar; and that losses may exceed amounts recognized on the Statements of Assets and Liabilities. During the period ended June 30, 2018, the Stock Account and the Bond Market Account had exposure to forwards, based on underlying notional values, generally between 0% and 1%. The forward contracts

 

College Retirement Equities Fund  ■  2018 Semiannual Report 101
 

Notes to financial statements (unaudited)

 

outstanding as of June 30, 2018 are disclosed in the summary portfolio of investments and the full schedules of investments.

 

Note 4—investment adviser and affiliates

 

Investment advisory services for the Accounts are provided by TIAA-CREF Investment Management, LLC (“TCIM”) in accordance with an Investment Management Services Agreement. TCIM is a registered investment adviser and a wholly owned subsidiary of Teachers Insurance and Annuity Association of America (“TIAA”), a companion organization of CREF. Investment management expenses generally include investment management, portfolio accounting and custodial services and are the same across all classes of an Account.

 

Administrative services are provided to the Accounts by TIAA, pursuant to an Administrative Services Agreement with CREF. Distribution functions are provided to the Accounts by TIAA-CREF Individual & Institutional Services, LLC (“Services”), a wholly owned subsidiary of TIAA, pursuant to a Principal Underwriting and Distribution Services Agreement with CREF and the Rule 12b-1 plan. Teachers Personal Investors Services, Inc. (“TPIS”), a wholly owned subsidiary of TIAA, may also provide distribution functions for the Accounts on a limited basis. Participants invested in a particular CREF Account will be subject to different administrative and distribution expenses depending upon the class of the Account they own.

 

TIAA charges a mortality and expense charge of 0.005% to guarantee that CREF participants transferring Accounts to TIAA for the immediate purchase of lifetime payout annuities will not be charged more than the rate stipulated in the CREF contract. This charge is the same across all Accounts and classes.

 

The services provided by TCIM, Services, TPIS, and TIAA are provided to CREF at cost, and CREF also reimburses TCIM, Services, TPIS, and TIAA for certain third party expenses and trustee fees paid on its behalf. Payments from the CREF Accounts are made on a daily basis according to formulas established each year with the objective of keeping the estimated expenses as close as possible to each Account’s actual expenses. Any differences between actual expenses and the estimated expenses remitted are adjusted.

 

102 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

As of June 30, 2018, the following table represents the effective expense deductions as an annual percentage of average daily net assets to approximate the costs that CREF incurred:

 

    Investment
management
fee
  Administrative fee  Distribution fee
    All classes   Class R1   Class R2   Class R3   Class R1   Class R2   Class R3 
Stock   0.098%   0.287%   0.172%   0.157%   0.151%   0.076%   0.054%
Global Equities   0.118    0.287    0.173    0.156    0.151    0.076    0.054 
Growth   0.040    0.287    0.173    0.156    0.151    0.076    0.054 
Equity Index   0.016    0.287    0.172    0.157    0.151    0.076    0.054 
Bond Market   0.100    0.287    0.172    0.157    0.152    0.076    0.055 
Inflation-Linked Bond   0.025    0.288    0.172    0.157    0.152    0.076    0.055 
Social Choice   0.047    0.287    0.172    0.157    0.151    0.076    0.055 
Money Market   0.026    0.288    0.172    0.157    0.152    0.076    0.055 

 

Between July 16, 2009 and March 7, 2017, TIAA withheld (“waived”) a portion of the distribution Rule 12b-1 and as necessary, administrative expenses for the Money Market Account. TIAA terminated the waiver on April 14, 2017. TIAA may, for a period of three years after the date an amount was waived, recover from the Account a portion of the amounts waived at such time as the class’s daily yield would be positive absent the effect of the waiver, and in such event the amount of recovery on any day will be approximately 25% of the class’s yield (net of all expenses) on that day. As a result of the share class conversion on April 25, 2015, previously recoverable amounts have been allocated to the newly formed classes, using conversion date April 24, 2015 end of day net assets. For the period ended June 30, 2018, TIAA recovered previously waived expenses from the Account of $2,532,326 for Class R1, $4,609,012 for Class R2 and $7,906,322 for Class R3. As of June 30, 2018, the cumulative amount of expenses waived subject to recovery is $9,462,364 for Class R1, $2,932,727 for Class R2 and $267,081 for Class R3. The amounts waived and recovered during the current period are disclosed on the Statements of Operations.

 

Amounts owed to Account affiliates for payment of Account expenses, payments for units purchased, and receipt for units sold are disclosed as due to/from affiliates on the Statements of Assets and Liabilities. Account expenses owed to affiliates are reflected in the Statements of Operations.

 

The Accounts may purchase or sell investment securities in transactions with affiliated entities under procedures adopted by the Board, pursuant to the 1940 Act. These transactions are effected at market rates without incurring broker commissions. For the period ended June 30, 2018, the Accounts engaged in the following security transactions with affiliated entities (dollar amounts are in thousands):

 

College Retirement Equities Fund  ■  2018 Semiannual Report 103
 

Notes to financial statements (unaudited)

 

           Realized 
Account  Purchases   Sales   gain (loss)
Stock   $1,584,771    $2,025,132    $528,159 
Global Equities   1,379,423    1,792,485    333,169 
Growth   90,600    190,600    69,387 
Equity Index   3,207    68,875    43,677 
Social Choice   206,495    49,527    7,797 

 

Companies in which an Account holds 5% or more of the outstanding voting shares are considered “affiliated companies” of the Account, pursuant to the 1940 Act. Information regarding transactions with affiliated companies is as follows (dollar amounts are in thousands):

 

                   Change in             
                   unrealized             
   Value at   Purchase   Sales   Realized   appreciation   Dividend   Shares at   Value at 
Issue  12/31/17   cost   proceeds   gain (loss)  (depreciation)  income   6/30/18   6/30/18 
Stock Account Common Stock Materials                                         
Tronox Ltd   $166,864    $36,017    $4,033    $1,482    $(7,486)   $  846    9,798,964    $192,844 
Software & Services                                        
GreenSky, Inc      77,743    3,441    (24)   (8,000)       3,133,717    66,278 
Total   $166,864    $113,760    $7,474    $1,458    $(15,486)   $  846    12,932,681    $259,122 

 

At December 31, 2017 the issuer was not an affiliated company of the Account.

 

Note 5—investments

 

Securities lending: Certain Accounts may lend their securities to qualified institutional borrowers to earn additional income. An Account receives collateral (in the form of cash, Treasury securities or other collateral permitted by applicable law) against the loaned securities and maintains collateral in an amount not less than 100% of the market value of loaned securities during the period of the loan; any additional collateral required due to changes in security values is delivered to the Account the next business day. Cash collateral received by the Account will generally be invested in high-quality short-term instruments or in one or more funds maintained by the securities lending agent (“Agent”) for the purpose of investing cash collateral. The value of the loaned securities and the liability to return the cash collateral received are reflected in the Statements of Assets and Liabilities. As of June 30, 2018, securities lending transactions (with the exception of the Social Choice Account) are for equity securities, and the resulting loans are continuous, can be recalled at any time, and have no set maturity. For the Social Choice Account, all loans from securities lending transactions are continuous, can be recalled at any time, and have no set maturity, with $157,868,416 related to equity securities and $66,914,483 related to fixed income securities. Securities lending income recognized by the Accounts consists of earnings on invested collateral and lending fees, net of any rebates to the borrower and compensation to the Agent. Such income is reflected

 

104 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

separately in the Statements of Operations. In lending its securities, an Account bears the market risk with respect to the investment of collateral and the risk that the Agent may default on its contractual obligations to the Account. The Agent bears the risk that the borrower may default on its obligation to return the loaned securities as the Agent is contractually obligated to indemnify the Account if at the time of a default by a borrower some or all of the loan securities have not been returned.

 

Repurchase agreements: Each Account may enter into repurchase agreements with banks or broker-dealers. Repurchase agreements involve the purchase of securities from an institution, subject to the seller’s agreement to repurchase and the Account’s agreement to resell such securities at a mutually agreed-upon price. Pursuant to the terms of the repurchase agreement, securities purchased subject to repurchase agreements must have an aggregate market value greater than or equal to the agreed-upon repurchase price plus accrued interest at all times. If the value of the underlying securities falls below the value of the repurchase price plus accrued interest, the Account will require the seller to deposit additional collateral by the next business day. If a request for additional collateral is not met, or if the seller defaults on its repurchase obligation, the Account maintains the right to sell the underlying securities at market value and pursue a claim for any remaining loss against the seller.

 

Securities purchased on a when-issued or delayed-delivery basis: The Accounts may purchase securities on a when-issued or delayed-delivery basis. Securities purchased or sold on a when-issued or delayed-delivery basis may be settled a month or more after trade date; interest income is not accrued until settlement date. At the time an Account enters into such transactions, it is required to have segregated assets with a current value at least equal to the amount of its when-issued or delayed-delivery purchase commitments. Amounts receivable and/or payable for these transactions are reflected separately in the Statements of Assets and Liabilities.

 

Treasury Inflation-Protected Securities: The Accounts (other than the Money Market Account) may invest in Treasury Inflation-Protected Securities, specially structured bonds in which the principal amount is adjusted periodically to keep pace with inflation, as measured by the U.S. Consumer Price Index. The adjustments for interest income due to inflation or deflation are reflected in interest income in the Statements of Operations.

 

Mortgage dollar roll transactions: Some of the Accounts may enter into mortgage dollar rolls in which an Account sells mortgage securities for delivery in the current month, realizing a gain (loss), and simultaneously contracts to repurchase similar securities on a specified future date. During the roll period, an Account forgoes principal and interest paid on the securities. The Account is compensated by the interest earned on the cash proceeds of the initial sale and by the lower repurchase price at the future date. The difference between the sales proceeds and the lower repurchase price is recorded as a realized gain. The Account maintains a segregated account, the dollar value of which is at least equal to its obligations with respect to dollar rolls.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 105
 

Notes to financial statements (unaudited)

 

Restricted securities: Restricted securities held by the Accounts, if any, may not be sold except in exempt transactions or in a public offering registered under the Securities Act of 1933. The risk of investing in such securities is generally greater than the risk of investing in securities that are widely held and publicly traded.

 

Equity-linked notes: Equity-linked notes are debt securities issued by banks or broker-dealers and are designed to offer a return linked to an underlying security or market index. Equity-linked notes are structured with a defined maturity date. When the note matures, the issuer will pay to, or receive from, the Account the difference between the nominal value of the underlying instrument at the time of purchase and that instrument’s value at maturity. The Account will record a realized gain or loss on the transaction. The note is valued daily and any change in the value of the note is reflected in net unrealized gains and losses. Investments in equity-linked notes involve the same risks associated with a direct investment in the underlying security or index that the notes seek to replicate. In addition, there is also counterparty risk associated with these investments because the Account is relying on the creditworthiness of such counterparty and has no rights under an equity-linked note against the issuer of the underlying security.

 

Net unrealized appreciation (depreciation): At June 30, 2018, net unrealized appreciation (depreciation) based on the aggregate cost of all investments for federal income tax purposes, consisting of gross unrealized appreciation and gross unrealized depreciation, was as follows (dollar amounts are in thousands):

 

       Gross   Gross   Net unrealized 
       unrealized   unrealized   appreciation 
Account  Tax cost   appreciation   (depreciation)  (depreciation)
Stock   $109,985,303    $18,574,643    $(4,133,083)   $14,441,560 
Global Equities   18,895,882    2,574,467    (573,225)   2,001,242 
Growth   20,005,773    7,297,784    (303,954)   6,993,830 
Equity Index   8,996,605    10,963,735    (485,877)   10,477,858 
Bond Market   13,362,956    58,919    (341,454)   (282,535)
Inflation-Linked Bond   6,333,890    199,430    (88,954)   110,476 
Social Choice   12,424,113    2,088,991    (374,208)   1,714,783 

 

For purposes of this disclosure, tax cost generally includes the cost of portfolio investments as well as up-front fees or premiums exchanged on derivatives and any amounts unrealized for income statement reporting but realized in income and/or capital gains for tax reporting.

 

106 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

Purchases and sales: Purchases and sales of securities (other than short-term instruments) for all of the Accounts for the period ended June 30, 2018 were as follows (dollar amounts are in thousands):

 

                       Inflation-     
       Global       Equity   Bond   Linked   Social 
   Stock   Equities   Growth   Index   Market   Bond   Choice 
   Account   Account   Account   Account   Account   Account   Account 
Purchases:                                   
Non-U.S. Government  $36,896,142   $11,609,968   $9,296,634   $269,434   $1,926,302   $   $3,134,350 
U.S. Government                   7,082,781    958,888    1,783,218 
Total Purchases  $36,896,142   $11,609,968   $9,296,634   $269,434   $9,009,083   $958,888   $4,917,568 
Sales:                                   
Non-U.S. Government  $41,363,402   $11,274,408   $9,952,465   $1,016,975   $2,357,810   $789   $3,196,747 
U.S. Government                   6,408,351    926,247    1,935,839 
Total Sales  $41,363,402   $11,274,408   $9,952,465   $1,016,975   $8,766,161   $927,036   $5,132,586 

 

Note 6—line of credit

 

Each of the Accounts, except the Money Market Account, participates in a $1.25 billion unsecured revolving credit facility that can be used for temporary purposes, including, without limitation, the funding of participant withdrawals. The current facility was entered into on June 19, 2018 expiring on June 18, 2019, replacing the previous $1.5 billion facility, which expired June 2018. Certain affiliated accounts and mutual funds, each of which is managed by TCIM, or an affiliate of TCIM, also participate in this facility. An annual commitment fee for the credit facility is borne by the participating accounts and mutual funds on a pro rata basis. Interest associated with any borrowing under the facility is charged to the borrowing accounts or mutual funds at a specified rate of interest. The Accounts are not liable for borrowings under the facility by other affiliated accounts or mutual funds. For the period ended June 30, 2018, there were no borrowings under this credit facility by the Accounts.

 

Note 7—indemnification

 

In the normal course of business, each Account enters into contracts that contain a variety of representations and warranties and that provide general indemnities. An Account’s maximum exposure under these arrangements is unknown, as this would involve future claims against the Account that have not yet occurred. Also, under the Accounts’ organizational documents, the trustees and officers of the Accounts are indemnified against certain liabilities that may arise out of their duties to the Accounts. However, based on experience, the Accounts expect the risk of loss due to these warranties and indemnities to be unlikely.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 107
 
Notes to financial statements (unaudited) concluded

 

Note 8—legal proceedings

 

The Social Choice Account was named as defendant and a putative member of the proposed defendant class of shareholders, or could be added as a defendant, in pending litigation by the Bankruptcy Litigation Trustee for the Tribune Company (Tribune) and certain creditors of Tribune, as a result of its ownership of shares of Tribune in 2007 when Tribune effected a leveraged buyout transaction (LBO) and was converted to a privately held company. The plaintiffs in that litigation seek to recover payments of the proceeds of the LBO. The litigation is now part of a multi-district litigation proceeding in the Southern District of New York and the Second Court of Appeals. The Account’s exposure related to this matter was 0.11% of net assets as of June 30, 2018.

 

Note 9—subsequent event

 

On July 5, 2018, Class R3 of the Money Market Account has recovered all previously waived expenses subject to recovery.

 

108 2018 Semiannual Report  ■  College Retirement Equities Fund
 

Approval of investment management agreement (unaudited)

 

Board renewal of the investment management agreement for the College Retirement Equities Fund

 

The Board of Trustees (the “Board” or the “Trustees”) of the College Retirement Equities Fund (“CREF”) determines whether to initially approve and periodically renew the investment management agreement (the “Agreement”) between TIAA-CREF Investment Management, LLC (“TCIM”) and CREF on behalf of each of its accounts (the “Accounts”). Under the Agreement, TCIM is responsible for providing investment advisory services and overseeing the everyday operations and other service providers of the Accounts. Below is a summary of the process the Board undertook related to its most recent renewal of the Agreement.

 

Most investment companies that are registered under the Investment Company Act of 1940, as amended (the “1940 Act”), enter into investment management agreements that are subject to Section 15(c) of the 1940 Act. This provision provides, in part, that, after an initial period of up to two years, the investment management agreement will remain in effect only if a fund’s board, including a majority of those trustees who are independent Trustees because they are not “interested persons” of the fund, as that term is defined in the 1940 Act, annually renews the agreement. CREF’s Agreement with TCIM is not subject to this requirement due to its unique “at-cost” structure under which TCIM provides services to CREF on an at-cost basis. Nevertheless, the Board determined that it would conduct an annual review of the Agreement, as described below, in a manner generally consistent with relevant 1940 Act requirements. None of the Trustees are interested persons of CREF. Rather, they are all deemed to be independent Trustees.

 

Overview of the renewal process

 

The Board held a meeting on March 15, 2018, at which it considered the annual renewal of the Agreement with respect to each Account using the process established by the Board. As part of this process, the Board delegated certain tasks to its Operations Committee. Among these tasks, the Operations Committee worked with TCIM, other Board members and legal counsel to the Trustees to develop guidance and specific requests relating to the types of information to be provided to the Board in connection with the proposed contract renewals.

 

Among other matters, the Operations Committee, following its consultations with TCIM’s representatives, the Trustees, legal counsel to the Trustees and legal counsel to TCIM and CREF, confirms or establishes certain guidance regarding the preparation of reports to be provided to the Board with respect to each Account by the Board Reporting and Compliance unit of Broadridge Financial Solutions, Inc. (“Broadridge”), using data from Lipper, Inc., which is an independent provider of investment company data. Broadridge is widely recognized as a leading provider of comparative analyses used by independent directors and trustees of investment companies during their advisory contract review processes.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 109
 

Approval of investment management agreement (unaudited)

 

Based on guidance provided by the Operations Committee on behalf of the Board, Broadridge produced, among other information, comparative performance and expense data regarding each Account, including data relating to each Account’s actual expenses, total expense ratio, short-term and long-term investment performance, brokerage commission costs and portfolio turnover rate (as applicable). Broadridge compared this data, as relevant, for each Account against a universe of investment companies (except for brokerage commission costs) and against a more selective peer group of mutual funds with similar investment objectives and strategies that underlie variable insurance products, each of which was selected by Broadridge, and also compared the performance of each Account against one or more appropriate broad-based indices. In each case, Broadridge summarized, and the Board reviewed, the methodologies it employed to provide the data contained in its reports. In addition, Broadridge represented to the Board that its reports were designed specifically to provide the Board with the fee, expense and performance information that is necessary to help the Board satisfy its duties under Section 15(c) of the 1940 Act. Broadridge also represented that the purpose of its materials is to provide an objective view of each Account’s relative position regarding the level of fees, expenses and total return performance against a competitive peer group and universe (as applicable) selected by Broadridge (and not TCIM or the Board).

 

In advance of the Board meeting held on March 15, 2018, legal counsel for the Trustees requested on behalf of the Board, and TCIM provided, information that was designed to assist the Board in its consideration of whether to renew the Agreement for each Account. In addition to the data provided by Broadridge as described above, this information included, but was not limited to, the following: (1) further information relating to each Account’s investment performance and a narrative analysis of the performance of each Account that had underperformed certain Board-specified criteria, together with an explanation of any events that had a material impact on the Account’s performance during that period; (2) a description of any expenses that were incurred by TCIM with respect to its services under the Agreement but not reimbursed by the Accounts during the prior year and the extent to which such arrangements would be continued or modified in the coming year; (3) a comparison of each Account’s actual expenses and performance to other accounts with comparable strategies managed by TCIM or certain of its affiliates; (4) any “fall-out” benefits that accrued or were identified as reasonably likely to accrue to TCIM or its affiliates due to their relationship with the Accounts in addition to the Account’s direct payments to TCIM pursuant to the Agreement; (5) information regarding TCIM’s financial resources, senior professional personnel, overall staffing levels, portfolio manager compensation arrangements, capacity to manage the Accounts at current and foreseeable asset levels, insurance coverage, soft dollar usage, portfolio trading and best execution practices, and any actual and potential conflicts of interest identified by TCIM in connection with rendering services to the Accounts; (6) a copy of the Agreement and certain related agreements between the Accounts and affiliates of TCIM; (7) a copy of TCIM’s Form ADV as filed with the Securities and Exchange Commission (which was presented only to legal counsel for the Trustees);

 

110 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

and (8) proposed narrative explanations of reasons why the Board should renew the Agreement. The Trustees were also provided with performance ratings of Morningstar, Inc. (“Morningstar”), which is a widely recognized mutual fund ranking service. The Trustees were given the opportunity to and did ask questions and request additional information throughout their deliberations, and they reviewed responses from TCIM to follow-up requests presented by the Board after its initial review of the information described above.

 

In considering whether to renew the Agreement with respect to each Account, the Board reviewed various factors with respect to the Account, including: (1) the nature, extent and quality of services provided or to be provided by TCIM to the Account; (2) the Account’s investment performance; (3) the costs of the services provided to the Account and CREF’s at-cost expense structure; (4) fees charged to comparable mutual funds by other advisers; (5) the extent to which economies of scale have been realized or are anticipated to be realized as the Account grows; (6) whether the estimate expenses set forth in the Agreement reflect any such economies of scale for the benefit of Account investors; (7) comparisons of the services provided by TCIM and its affiliate, Teachers Advisors, LLC (“Advisors”), to, and the actual expenses and performance of, the Account to other clients to which TCIM and Advisors provides comparable services; and (8) any other benefits derived or anticipated to be derived by TCIM or its affiliates from their relationship with the Account. As a general matter, the Board viewed these factors, and any other factors deemed relevant by the Trustees, in their totality, and no single factor was identified as being the determining factor in deciding whether to renew the Agreement.

 

In addition to general session meetings that included TCIM’s personnel, the Trustees met in private sessions, at which no TCIM representatives were present, to discuss the proposed renewal of the Agreement for each Account. The Board also received and considered information from its legal counsel as to certain relevant guidance that relates to the renewal process and certain other legal authorities.

 

While the contract renewal process includes a series of meetings leading up to the March 15, 2018 meeting, the oversight and evaluation of TCIM’s services to the Accounts by the Board and its Committees is ongoing. The Board, as well as its Committees reviewed reports on various investment and operational topics that had been identified by the Board or its Committees for review in the year since the last annual renewal process. Further, at regularly scheduled meetings of the Board, the Board and the Investment Committee receive and review, among other matters, information regarding the performance of the Accounts. Thus, in reaching its decisions regarding the renewal of the Agreement for each Account, the Board took into account the information described herein and other information provided to the Board and its Committees throughout the year.

 

The Board received and considered both CREF-level and Account-specific information, but made its renewal determinations on an Account-by-Account basis. In deciding whether to renew the Agreement for each Account, each Trustee may have accorded different weight to different factors and, thus, each Trustee may have had a different

 

College Retirement Equities Fund  ■  2018 Semiannual Report 111
 

Approval of investment management agreement (unaudited)

 

basis for his or her ultimate decision to vote to renew the Agreement for each Account. At its meeting on March 15, 2018, all Board members in attendance voted unanimously to renew the Agreement for each Account. Set forth below is a summary of the primary factors the Board considered with respect to each Account.

 

The nature, extent and quality of services

 

The Board considered the level and depth of knowledge of TCIM, including the professional experience and qualifications of its personnel. The Board also considered that TCIM is an experienced investment adviser that has managed the Accounts since their operations commenced. Investment professionals at TCIM also manage the TIAA-CREF Funds, the TIAA-CREF Life Funds and TIAA Separate Account VA-1, as well as sub-advise other investment companies and vehicles. Under the Agreement, TCIM is responsible for, among other duties: managing the assets of the Accounts, including conducting research, identifying investments and placing orders to buy and sell securities for the Accounts’ investment portfolios; active daily monitoring of the Accounts’ investment portfolios; and reporting on the investment performance of the Accounts to the Board on a regular basis. The Board considered that TCIM has carried out these responsibilities in a competent and professional manner. The Board also considered that TCIM has committed significant resources to supporting the Accounts. It also considered TCIM’s compliance program and resources and its compliance record with respect to the Accounts.

 

The Board also considered, among other factors, the performance of each Account, as discussed below. In addition, the Board considered the nature and quality of non-portfolio management services provided by TCIM and its affiliates. In this regard, the Board considered its ongoing review of the performance of certain affiliated and unaffiliated service providers, including the quality of services provided by those firms and TCIM’s oversight of those service providers and the outsourcing of certain services to other firms.

 

During its review, the Board noted its ongoing efforts to examine the level of personnel and other resources available to TCIM to provide portfolio management and other services to the Accounts, including the impact of recent and anticipated operational changes on such resources, so as to assess the adequacy of the resources devoted to these services.

 

Investment performance

 

The Board considered the investment performance of each Account, over the periods indicated in the Account-by-Account synopsis below. The Board considered each Account’s performance as compared to its peer group and peer universe of mutual funds that underlie variable insurance products (as applicable) and its benchmark index. The Board also reviewed the three-year performance of the Equity Index Account before any reductions for fees or expenses. In this analysis, the Board considered the effects of fair valuation, foreign exchange rates, effective tax rates,

 

112 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

securities lending and class action litigation on this Account’s performance as compared to the performance of its benchmark index. For details regarding each Account’s performance, see the Account-by-Account synopsis below.

 

The Board considered that, in those cases in which an Account had materially underperformed its peer group or peer universe of mutual funds that underlie variable insurance products for a specified period, the Board had a dialogue with investment personnel of TCIM, including the pertinent chief investment officer, to consider the factors that contributed to such underperformance and any remedial measures being undertaken by TCIM. Thus, the Board concluded that, under the totality of circumstances considered, the investment performance of each Account was reasonable or that appropriate actions had been or were being implemented.

 

Cost and expenses

 

The Board considered the amounts charged by TCIM to each Account in 2017 and the estimated amounts to be charged by TCIM to each Account in 2018 (for the period May 1, 2018–April 30, 2019). This included investment advisory costs paid to TCIM, expressed in dollar terms and as a percentage of assets, as well as a reconciliation and analysis of those expenses. The Board considered that TCIM charges expenses “at cost” and these charges are adjusted at least quarterly to reflect the actual expenses incurred with respect to each Account during the most recent quarter. The Board considered the rationale for TCIM’s anticipated costs in providing services to CREF and considered whether these anticipated costs are reasonable in relation to the nature and quality of services provided by TCIM. The Board noted that, because TCIM provides its services on an at-cost basis under the arrangement outlined in the Agreement, there was no profit or loss data for the Board to consider.

 

Fees charged by other advisers

 

The Board considered comparative information regarding each Account’s actual expenses and the effective management fee rates paid by similar mutual funds that underlie variable insurance products to other advisers, as analyzed by Broadridge and reflected in the Account-by-Account synopsis below. The Board determined that the effective management fee rate charged to an Account under the Agreement typically was lower than the management fee rates charged to many or most other comparable mutual funds that underlie variable insurance products. In this connection, the Board also considered the inherent limitations of such comparisons in light of uncertainty as to how the fees of such similar mutual funds are set and potentially material differences between an Account and its comparable mutual funds that underlie variable insurance products. For example, most similar mutual funds are offered only through variable insurance products that also carry additional fees and expenses, whereas the Accounts bear certain of these expenses themselves. Another limitation noted by the Board was Broadridge’s treatment of all fund fee waivers, regardless of their type, as management fee waivers, which could materially

 

College Retirement Equities Fund  ■  2018 Semiannual Report 113
 

Approval of investment management agreement (unaudited)

 

impact how the Accounts’ effective management fee rates compare to those of peer mutual funds that underlie variable insurance products. Based on all factors considered, the Board concluded that the effective management fee rates under the Agreement with respect to each Account were reasonable in relation to those charged by appropriate groups of comparable mutual funds that underlie variable insurance products.

 

Economies of scale

 

The Board considered that certain economies of scale are already integrated into each Account’s cost structure due to the at-cost expense arrangements pursuant to which TCIM renders investment advisory services to CREF. The Board also considered that, in certain circumstances, an increase in CREF assets can result in additional expenses being allocated to CREF pursuant to the cost allocation methodologies that are used to calculate payments to be made by CREF pursuant to the at-cost expense arrangements.

 

Fee and performance comparisons with other TCIM and Advisors clients

 

The Board considered that TCIM and its affiliate, Advisors, provide investment management services to other investment companies, including foreign funds (UCITS), and separately managed accounts that may have similar investment strategies as certain of the Accounts. The Board also considered TCIM’s comments that, in the future, Advisors may manage client assets through additional funds and accounts with similar investment strategies. The Board also considered TCIM’s and Advisors’ representation that, while management fee rates charged to the Accounts may differ from the management fee rates chargeable to these other funds and other accounts, this may be due in part to the fact that these other funds and accounts: (1) may be offered through products that charge additional fees to their investors; (2) may be offered in different types of markets; (3) may be provided with different types or levels of services; (4) may have different regulatory burdens; (5) may target different investors; and/or (6) may be packaged with other products, and that these factors, among others, could reasonably explain different management fee rate schedules.

 

Other benefits

 

The Board also considered additional benefits to TCIM and its affiliates arising from the Agreement. For example, TCIM and its affiliates may benefit from their relationship with the Accounts to the extent that this relationship results in potential investors viewing Teachers Insurance and Annuity Association of America (“TIAA”), of which TCIM is an indirect, wholly-owned subsidiary, as a leading retirement plan provider in the academic and nonprofit markets and as a single source for all their financial service needs. Both TCIM and certain funds managed by TCIM or its affiliates may benefit from economies of scale to the extent they share resources and/or personnel. TCIM may also benefit from the ability to acquire investment research related to commission arrangements made on behalf of the Accounts (i.e., soft dollars).

 

114 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

Account-by-account factors

 

The Board considered the following specific factors (among others) in connection with its determination to renew the Agreement with respect to each Account. If an Account is described in the following discussions as being in the “1st” quintile, it is in the best of five groups (that is, the group has the best performance or the lowest expenses, as the case may be). References below to quintiles are based on data provided to the Board in the reports prepared by Broadridge. The specific expense and performance factors outlined below are based on the Class R3 units of each Account. Because Class R3 generally has lower non-management expenses than the other classes of these Accounts, the expenses and performance of these other classes will differ from the expenses and performance shown for Class R3. Except as otherwise noted, all time periods referenced below are ended December 31, 2017. Under the Morningstar rating system, 5 stars is the highest (best) rating category and 1 star is the lowest (worst) rating category. The Morningstar data is as of December 31, 2017.

 

CREF Stock Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.095% of average daily net assets for the year ending April 30, 2019. The Account’s actual management costs for the year ended December 31, 2017 equaled 0.093% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of the group of comparable funds selected by Broadridge for expense comparison purposes (“Expense Group”) and each in the 1st quintile of the universe of comparable funds selected by Broadridge for expense comparison purposes (“Expense Universe”).
The Account did not have a group of comparable funds selected by Broadridge for performance comparison purposes (“Performance Group”). The Account was in the 3rd, 1st, 1st and 1st quintiles of the universe of comparable funds selected by Broadridge for performance comparison purposes (“Performance Universe”) for the one-, three-, five- and ten-year periods, respectively.
The Account received an Overall Morningstar Rating of 5 stars.

 

CREF Global Equities Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.125% of average daily net assets for the year ending April 30, 2019. The Account’s actual management costs for the year ended December 31, 2017 equaled 0.128% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 115
 

Approval of investment management agreement (unaudited)

 

The Account did not have a Performance Group. The Account was in the 2nd quintile of its Performance Universe for each of the one-, three-, five- and ten-year periods.
The Account received an Overall Morningstar Rating of 3 stars.

 

CREF Growth Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.045% of average daily net assets for the year ending April 30, 2019. The Account’s actual management costs for the year ended December 31, 2017 equaled 0.043% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.
The Account was in the 3rd, 4th, 3rd and 3rd quintiles of its Performance Group for the one-, three-, five- and ten-year periods, respectively. The Account was in the 3rd, 3rd, 2nd and 2nd quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively.
The Account received an Overall Morningstar Rating of 4 stars.

 

CREF Equity Index Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.020% of average daily net assets for the year ending April 30, 2019. The Account’s actual management costs for the year ended December 31, 2017 equaled 0.016% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.
The Account ranked 1 out of 3 funds within its Performance Group for each of the one-, three-, five- and ten-year periods. The Account was in the 2nd, 1st, 1st and 2nd quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively. The Account’s Performance Universe includes actively-managed funds, while the Account utilizes a passive investment strategy.
For the three-year period, the Account’s adjusted relative gross performance (meaning the Account’s performance without any reductions for fees or expenses and excluding the effects of fair valuation, foreign exchange, effective tax rates, securities lending and class action recoveries) equaled its benchmark, the Russell 3000® Index.
The Account received an Overall Morningstar Rating of 3 stars.

 

CREF Bond Market Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.095% of average daily net assets for the year ending April 30, 2019. The Account’s actual

 

116 2018 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

  management costs for the year ended December 31, 2017 equaled 0.086% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment costs and total costs are each in the 1st quintile of its Expense Group and Expense Universe.
The Account was in the 3rd, 3rd, 3rd and 5th quintiles of its Performance Group for the one-, three-, five- and ten-year periods, respectively. The Account was in the 2nd, 2nd, 2nd and 4th quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively.
The Account received an Overall Morningstar Rating of 4 stars.

 

CREF Inflation-Linked Bond Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.030% of average daily net assets for the year ending April 30, 2019. The Account’s actual management costs for the year ended December 31, 2017 equaled 0.026% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.
The Account was in the 5th, 3rd, 4th and 4th quintiles of its Performance Group for the one-, three-, five- and ten-year periods, respectively. The Account was in the 5th, 4th, 4th and 4th quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively.
The Board considered Advisors’ representations that the Account’s underperformance was primarily due to its use of a different benchmark and shorter average portfolio duration as compared to the majority of its peers.
The Account received an Overall Morningstar Rating of 3 stars.

 

CREF Social Choice Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.055% of average daily net assets for the year ending April 30, 2019. The Account’s actual management costs for the year ended December 31, 2017 equaled 0.046% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.
The Account was in the 4th, 4th, 5th and 4th quintiles of its Performance Group for the one-, three-, five- and ten-year periods, respectively. The Account was in the 2nd quintile of its Performance Universe for each of the one-, three-, five- and ten-year periods.
The Account received an Overall Morningstar Rating of 3 stars.

 

College Retirement Equities Fund  ■  2018 Semiannual Report 117
 
Approval of investment management agreement (unaudited) concluded

 

CREF Money Market Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.025% of average daily net assets for the year ending April 30, 2019. The Account’s actual management costs for the year ended December 31, 2017 equaled 0.019% of average daily net assets, which was used by Broadridge for comparative purposes.
The Board acknowledged that over a multi-year period, CREF’s administrator, TIAA, withheld certain administrative and distribution expenses attributable to the Account in order to avoid a negative yield and that, under certain circumstances, a portion of these withheld amounts contractually may be recouped by TIAA when the yield of each Class of the Account becomes positive, which led to recoupments from each Class of the Account during the year ended December 31, 2017. The Board also acknowledged that, absent such recoupments, the Account’s total costs would have been lower.
The Account was in the 3rd, 3rd, 2nd and 2nd quintiles of its Performance Group for the one, three-, five- and ten-year periods, respectively. The Account was in the 2nd quintile of its Performance Universe for each of the one-, three-, five- and ten-year periods.
Money market funds are not rated by Morningstar.

 

 

 

Based primarily on the foregoing factors and considerations, the Board renewed the Agreement for each Account.

 

118 2018 Semiannual Report  ■  College Retirement Equities Fund
 

Additional information about index providers (unaudited)

 

Russell indexes

 

Frank Russell Company (“Russell”) is the source and owner of the trademarks, service marks and copyrights related to the Russell Indexes. Russell® is a trademark of Frank Russell Company. Neither Russell nor its licensors accept any liability for any errors or omissions in the Russell Indexes and/or Russell ratings or underlying data and no party may rely on any Russell Indexes and/or Russell ratings and/or underlying data contained in this communication. No further distribution of Russell Data is permitted without Russell’s express written consent. Russell does not promote, sponsor or endorse the content of this communication.

 

Bloomberg Barclays indexes

 

Source: Bloomberg Index Services Limited. BLOOMBERG® is a trademark and service mark of Bloomberg Finance L.P. and its affiliates (collectively “Bloomberg”). BARCLAYS® is a trademark and service mark of Barclays Bank Plc (collectively with its affiliates, “Barclays”), used under license. Bloomberg or Bloomberg’s licensors, including Barclays, own all proprietary rights in the Bloomberg Barclays Indices. Neither Bloomberg nor Barclays approves or endorses this material, or guarantees the accuracy or completeness of any information herein, or makes any warranty, express or implied, as to the results to be obtained therefrom and, to the maximum extent allowed by law, neither shall have any liability or responsibility for injury or damages arising in connection therewith.

 

MSCI indexes

 

Source: MSCI. The MSCI information may only be used for your internal use, may not be reproduced or redisseminated in any form and may not be used as a basis for or a component of any financial instruments or products or indices. None of the MSCI information is intended to constitute investment advice or a recommendation to make (or refrain from making) any kind of investment decision and may not be relied on as such. Historical data and analysis should not be taken as an indication or guarantee of any future performance analysis, forecast or prediction. The MSCI information is provided on an “as is” basis and the user of this information assumes the entire risk of any use made of this information. MSCI, each of its affiliates and each other person involved in or related to compiling, computing or creating any MSCI information (collectively, the “MSCI Parties”) expressly disclaims all warranties (including, without limitation, any warranties of originality, accuracy, completeness, timeliness, non-infringement, merchantability and fitness for a particular purpose) with respect to this information. Without limiting any of the foregoing, in no event shall any MSCI Party have any liability for any direct, indirect, special, incidental, punitive, consequential (including, without limitation, lost profits) or any other damages. (www.msci.com)

 

College Retirement Equities Fund  ■  2018 Semiannual Report 119
 
Additional information about index providers (unaudited) concluded

 

Morningstar indexes

 

© 2018 Morningstar. All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information.

 

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You should carefully consider the investment objectives, risks, charges and expenses of any account before investing. For a prospectus that contains this and other important information, please visit TIAA.org, or call 877-518-9161. Please read the prospectus carefully before investing. Investment, insurance and annuity products are not FDIC insured, are not bank guaranteed, are not bank deposits, are not insured by any federal government agency, are not a condition to any banking service or activity, and may lose value. Nuveen, a subsidiary of TIAA, provides investment advice and portfolio management services through a dozen affiliated registered investment advisers. TIAA Brokerage Services is a division of TIAA-CREF Individual & Institutional Services, LLC. TIAA-CREF Individual & Institutional Services, LLC and Nuveen Securities, LLC, members FINRA and SIPC, distribute securities products. CREF variable annuities are issued by College Retirement Equities Fund, New York, NY. Each of the foregoing is solely responsible for its own financial condition and contractual obligations.

 

This material is not intended to be a recommendation or investment advice, does not constitute a solicitation to buy or sell securities, and is not provided in a fiduciary capacity. The information provided does not take into account the specific objectives or circumstances of any particular investor, or suggest any specific course of action. Investment decisions should be made based on an investor’s objectives and circumstances and in consultation with his or her advisors.

 

 

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COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

COLLEGE RETIREMENT EQUITIES FUND

STOCK ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2018  

 

PRINCIPAL     ISSUER  
 
  RATE   MATURITY
DATE
  VALUE
(000)
 
                        
BONDS - 0.0%
                             
CORPORATE BONDS - 0.0%
                             
DIVERSIFIED FINANCIALS - 0.0%
$466,000  †,m  Asia Pacific Investment Partners         15.000%   04/23/17  $ 0 ^
       TOTAL DIVERSIFIED FINANCIALS                0 ^
                              
       TOTAL CORPORATE BONDS                   0  
       (Cost $466)                      
                              
GOVERNMENT BONDS -  0.0%
                              
U.S. TREASURY SECURITIES - 0.0%
 300,000     United States Treasury Note         1.750    05/15/22    290  
       TOTAL U.S. TREASURY SECURITIES                   290  
                              
       TOTAL GOVERNMENT BONDS                   290  
       (Cost $302)                      
                              
       TOTAL BONDS                   290  
       (Cost $768)                      
                              
EQUITY LINKED NOTES - 0.0%
                              
DIVERSIFIED FINANCIALS - 0.0%
 469,915  *,j,m  Morgan Stanley BV         0.000    06/14/19    10,759  
       TOTAL DIVERSIFIED FINANCIALS               10,759  
                              
       TOTAL EQUITY LINKED NOTES                   10,759  
       (Cost $10,877)                      
                            
SHARES     COMPANY                    
                           
COMMON STOCKS - 99.3%
                              
AUTOMOBILES & COMPONENTS - 1.7%
 182,804     Adient plc                   8,992  
 79,900     Aisan Industry Co Ltd                   673  
 950,544     Aisin Seiki Co Ltd                   43,281  
 57,800  *,e  Akebono Brake Industry Co Ltd                   140  
 339,527  *  American Axle & Manufacturing Holdings, Inc                   5,283  
 579,487     Apollo Tyres Ltd                   2,156  
 41,890     ARB Corp Ltd                   708  
1

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 36,122     Asahi India Glass Ltd  $175 
 291  e  Autoliv, Inc   42 
 8,367     Autoneum Holding AG.   1,953 
 1,826,500  g  BAIC Motor Corp Ltd   1,738 
 128,668     Bajaj Holdings and Investment Ltd   5,277 
 47,030     Balkrishna Industries Ltd   716 
 589,739     Bayerische Motoren Werke AG.   53,308 
 5,237     Bayerische Motoren Werke AG. (Preference)   417 
 399,119     Bharat Forge Ltd   3,571 
 418,209     BorgWarner, Inc   18,050 
 9,541     Bosch Ltd   2,439 
 95,782     Brembo S.p.A   1,292 
 693,262     Bridgestone Corp   27,081 
 7,372,135     Brilliance China Automotive Holdings Ltd   13,227 
 510,562  e  Byd Co Ltd   3,148 
 17,000     Cayman Engley Industrial Co Ltd   93 
 70,078     Ceat Ltd   1,288 
 383,000  e  Chaowei Power Holdings Ltd   194 
 1,609,251     Cheng Shin Rubber Industry Co Ltd   2,421 
 4,640,000  *  China First Capital Group Ltd   2,962 
 1,432,000     China Motor Corp   1,330 
 805,500  *  Chongqing Changan Automobile Co Ltd   814 
 213,368     Cie Automotive S.A.   6,279 
 301,327  e  Compagnie Plastic-Omnium S.A.   12,706 
 209,123     Continental AG.   47,592 
 77,294  e  Cooper Tire & Rubber Co   2,033 
 47,463  *  Cooper-Standard Holding, Inc   6,202 
 35,551     Cub Elecparts, Inc   454 
 27,900     Daido Metal Co Ltd   284 
 45,000     Daikyonishikawa Corp   657 
 1,590,295     Daimler AG. (Registered)   101,870 
 812,456     Dana Holding Corp   16,403 
 1,300,573     Delphi Automotive plc   119,172 
 323,957     Delphi Technologies plc   14,727 
 376,718     Denso Corp   18,382 
 63,000     Depo Auto Parts Ind Co Ltd   166 
 220,004  e,g  Dometic Group AB   2,153 
 2,265,787     Dongfeng Motor Group Co Ltd   2,388 
 40,317  *  Dorman Products, Inc   2,754 
 387,500     Drb-Hicom BHD   188 
 127,100     Eagle Industry Co Ltd   2,040 
 5,692     EDAG Engineering Group AG.   110 
 18,483     ElringKlinger AG.   236 
 33,180  g  Endurance Technologies Ltd   605 
 26,685  *  Esmo Corp   268 
 103,582     Exedy Corp   3,206 
 330,180     Exide Industries Ltd   1,246 
 383,481     Faurecia   27,260 
 24,000     FCC Co Ltd   676 
 57,846     Ferrari NV   7,819 
 2,453,872  *  Fiat DaimlerChrysler Automobiles NV   46,290 
 13,730,371     Ford Motor Co   151,995 
 64,292     Ford Otomotiv Sanayi AS   856 
 151,734  *  Fox Factory Holding Corp   7,063 
2

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 254,206     Fuji Heavy Industries Ltd  $7,394 
 37,397     Futaba Industrial Co Ltd   235 
 522,400  g  Fuyao Glass Industry Group Co Ltd   1,765 
 12,065,202     Geely Automobile Holdings Ltd   31,042 
 4,230,271  *,†,m  General Motors Co   0 
 7,950,000  *,†,m  General Motors Co   0 
 18,507,434  *,†,m  General Motors Co   0 
 40,684,487  *,†,e,m  General Motors Co   0 
 85,268,000  *,†,e,m  General Motors Co   0 
 1,783,079     General Motors Co   70,253 
 722,689  *,†,e,m  General Motors Co   0 
 6,062,000  *,†,m  General Motors Co   0 
 26,439,191  *,†,m  General Motors Co   0 
 24,057,000  *,†,m  General Motors Co   0 
 35,983,677  *,†,m  General Motors Co   0 
 1,112,358     Gentex Corp   25,606 
 55,737  *  Gentherm, Inc   2,190 
 220,715  *,g  Gestamp Automocion S.A.   1,648 
 3,496     Global & Yuasa Battery Co Ltd   99 
 24,000     Global PMX Co Ltd   119 
 500,192     Goodyear Tire & Rubber Co   11,649 
 3,734     Grammer AG.   259 
 2,541,989  e  Great Wall Motor Co Ltd   1,935 
 60,400     G-Tekt Corp   1,022 
 8,476,585     Guangzhou Automobile Group Co Ltd   8,247 
 106,415     GUD Holdings Ltd   1,114 
 5,287     Halla Holdings Corp   209 
 5,717     Hanil E-Hwa Co Ltd   34 
 73,444     Hankook Tire Co Ltd   2,775 
 183,446     Hanon Systems   1,745 
 102,964     Harley-Davidson, Inc   4,333 
 92,274     Hero Honda Motors Ltd   4,679 
 34,000     Hiroca Holdings Ltd   115 
 13,800     Honda Atlas Cars Pakistan Ltd   36 
 1,576,534     Honda Motor Co Ltd   46,226 
 134,990     Hota Industrial Manufacturing Co Ltd   651 
 46,199     Hu Lane Associate, Inc   209 
 64,395     Hyundai Mobis   12,248 
 146,162     Hyundai Motor Co   16,428 
 50,322     Hyundai Motor Co Ltd (2nd Preference)   4,096 
 23,182     Hyundai Motor Co Ltd (Preference)   1,710 
 11,727     Hyundai Wia Corp   429 
 22,200     Ichikoh Industries Ltd   265 
 22,640     Indus Motor Co Ltd   265 
 226,971     Isuzu Motors Ltd   3,009 
 414,504     JK Tyre & Industries Ltd   738 
 140,700     Kasai Kogyo Co Ltd   1,741 
 73,689     Kayaba Industry Co Ltd   3,348 
 375,900     Keihin Corp   7,628 
 367,455     Kenda Rubber Industrial Co Ltd   405 
 298,607     Kia Motors Corp   8,250 
 39,836     Koito Manufacturing Co Ltd   2,631 
3

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 728,598  *  Kongsberg Automotive ASA  $835 
 53,028     Kordsa Teknik Tekstil AS.   74 
 51,473  *  Kumho Tire Co, Inc   291 
 111,000     Launch Tech Co Ltd   128 
 36,747     LCI Industries, Inc   3,313 
 305,200     Lear Corp   56,709 
 30,191     Leoni AG.   1,530 
 34,597     Linamar Corp   1,521 
 33,000     Macauto Industrial Co Ltd   127 
 607,834     Magna International, Inc   35,352 
 1,161,259     Mahindra & Mahindra Ltd   15,219 
 48,350  *  Mahindra CIE Automotive Ltd   182 
 26,900     Mahle-Metal Leve S.A. Industria e Comercio   181 
 21,356     Mando Corp   736 
 267,841     Martinrea International, Inc   2,873 
 171,029     Maruti Suzuki India Ltd   22,043 
 555,731     Mazda Motor Corp   6,817 
 333,733     Metair Investments Ltd   377 
 34,152     MGI Coutier   1,039 
 68,524     Michelin (C.G.D.E.) (Class B)   8,290 
 12,434     Minda Industries Ltd   230 
 475,681     Minth Group Ltd   2,012 
 20,600     Mitsuba Corp   165 
 416,268     Mitsubishi Motors Corp   3,318 
 441,159  *  Modine Manufacturing Co   8,051 
 361,388  *  Motherson Sumi Systems Ltd   1,504 
 28,097  *,e  Motorcar Parts of America, Inc   526 
 30,000     Musashi Seimitsu Industry Co Ltd   995 
 264,949     Nan Kang Rubber Tire Co Ltd   233 
 10,044     Nexen Corp   59 
 19,219     Nexen Tire Corp   177 
 923,000     Nexteer Automotive Group Ltd   1,358 
 847,423     NGK Spark Plug Co Ltd   24,091 
 386,200     NHK Spring Co Ltd   3,635 
 161,902     Nifco, Inc   5,003 
 184,900     Nippon Seiki Co Ltd   3,492 
 3,354,681     Nissan Motor Co Ltd   32,642 
 33,841     Nissan Shatai Co Ltd   308 
 131,900     Nissin Kogyo Co Ltd   2,332 
 62,839     NOK Corp   1,214 
 200,525     Nokian Renkaat Oyj   7,896 
 304,200     Pacific Industrial Co Ltd   4,464 
 2,590,673     Peugeot S.A.   59,029 
 98,307     Piaggio & C S.p.A.   246 
 15,100     Piolax Inc   364 
 308,894  *,g  Pirelli & C S.p.A   2,572 
 42,309     POLYTEC Holding AG.   606 
 420,117     Porsche AG.   26,676 
 77,100     Press Kogyo Co Ltd   452 
 28,022,007     PT Astra International Tbk   12,901 
 7,888,000     Qingling Motors Co Ltd   2,419 
 158,000  e  Rassini SAB de C.V.   541 
 674,804  e  Renault S.A.   57,170 
 19,200  e  Riken Corp   1,004 
4

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 38,882     S&T Daewoo Co Ltd  $1,150 
 111,486     SAF-Holland S.A.   1,676 
 42,300  *  SAIC Motor Corp Ltd   223 
 14,900     Sanden Corp   194 
 361,920     Sanyang Industry Co Ltd   259 
 369,503     Schaeffler AG.   4,796 
 24,048  *  Shiloh Industries, Inc   209 
 8,300  *,e  Shoei Co Ltd   293 
 335,300     Showa Corp   5,511 
 68,916     SL Corp   1,123 
 303,449  *,e  Sogefi S.p.A.   911 
 142,858     Spartan Motors, Inc   2,157 
 269,680     Sri Trang Agro-Industry PCL (Foreign)   81 
 22,347  *  Ssangyong Motor Co   92 
 66,717     Standard Motor Products, Inc   3,225 
 270,242     Stanley Electric Co Ltd   9,202 
 303,872  *  Stoneridge, Inc   10,678 
 551,600     Sumitomo Electric Industries Ltd   8,204 
 117,340  e  Sumitomo Rubber Industries, Inc   1,860 
 131,205     Sundram Fasteners Ltd   1,197 
 36,097  h  Sungwoo Hitech Co Ltd   140 
 39,124     Superior Industries International, Inc   700 
 19,419     Suprajit Engineering Ltd   69 
 226,071     Suzuki Motor Corp   12,458 
 150,000  e  T RAD Co Ltd   4,645 
 116,400     Tachi-S Co Ltd   1,950 
 17,500     Taiho Kogyo Co Ltd   202 
 2,722,227  *  Tata Motors Ltd   10,702 
 13,500     Teikoku Piston Ring Co Ltd   314 
 77,476     Tenneco, Inc   3,406 
 160,944  *,e,n  Tesla, Inc   55,196 
 20,350     Thal Ltd   80 
 80,146     Thor Industries, Inc   7,805 
 6,544,000     Tianneng Power International Ltd   10,158 
 100,486     Tofas Turk Otomobil Fabrik   526 
 318,363     Tokai Rika Co Ltd   6,036 
 21,700     Tokai Rubber Industries, Inc   222 
 880,699     Tong Yang Industry Co Ltd   1,355 
 129,400     Topre Corp   3,252 
 30,048     Tower International, Inc   956 
 59,600     Toyo Tire & Rubber Co Ltd   869 
 44,015     Toyoda Gosei Co Ltd   1,114 
 45,800     Toyota Boshoku Corp   840 
 104,405     Toyota Industries Corp   5,844 
 5,027,689     Toyota Motor Corp   325,136 
 224,800     TS Tech Co Ltd   9,365 
 97,469     Tube Investments of India Ltd   329 
 41,089     Tung Thih Electronic Co Ltd   142 
 40,400     Tupy S.A.   187 
 127,000     TYC Brother Industrial Co Ltd   134 
 349,241     UMW Holdings BHD   517 
 33,500     Unipres Corp   655 
 226,952     Valeo S.A.   12,374 
5

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 38,176  *  Visteon Corp  $4,934 
 96,314     Volkswagen AG.   15,833 
 238,255     Volkswagen AG. (Preference)   39,362 
 6,823     WABCO India Ltd   700 
 82,183     Winnebago Industries, Inc   3,337 
 560,000  e  Xin Point Holdings Ltd   369 
 4,058,247     Xingda International Holdings Ltd   1,186 
 6,306,785     Xinyi Glass Holdings Co Ltd   7,650 
 2,440,000  e,g  Yadea Group Holdings Ltd   904 
 144,762     Yamaha Motor Co Ltd   3,634 
 27,800  e  Yokohama Rubber Co Ltd   577 
 149,200     Yorozu Corp   2,292 
 551,000     Yulon Motor Co Ltd   381 
       TOTAL AUTOMOBILES & COMPONENTS   2,132,829 
               
BANKS - 8.2%         
 11,253  e  1st Constitution Bancorp   258 
 24,222     1st Source Corp   1,294 
 97,106     77 Bank Ltd   2,109 
 33,362     Aareal Bank AG.   1,464 
 796,322  g  ABN AMRO Group NV (ADR)   20,594 
 2,861,120  *  Abu Dhabi Commercial Bank PJSC   5,499 
 21,925     Access National Corp   627 
 10,186     ACNB Corp   347 
 77,265,649     Agricultural Bank of China   36,062 
 3,194,801     AIB Group plc   17,301 
 4,900     Aichi Bank Ltd   212 
 6,628,114     Akbank TAS   10,833 
 7,700     Akita Bank Ltd   214 
 217,195     Albaraka Turk Katilim Bankasi AS   64 
 129,677  *  Alior Bank S.A.   2,296 
 124,084  *  Allahabad Bank   76 
 17,546  *  Allegiance Bancshares, Inc   761 
 965,256     Alliance Financial Group BHD   966 
 1,431,371  *  Alpha Bank AE   3,190 
 315,270  *,†,m  Amagerbanken AS   0 
 11,996     American National Bankshares, Inc   480 
 60,631     Ameris Bancorp   3,235 
 11,926  e  Ames National Corp   368 
 473,336  *  Amlak Finance PJSC   92 
 1,371,538     AMMB Holdings BHD   1,272 
 11,100     Aomori Bank Ltd   335 
 119,894     Aozora Bank Ltd   4,550 
 17,062     Arrow Financial Corp   621 
 17,000  *  Aruhi Corp   355 
 2,044,160     Ashikaga Holdings Co Ltd   6,857 
 1,042,782     Associated Banc-Corp   28,468 
 62,664  *  Atlantic Capital Bancshares, Inc   1,231 
 3,627     Auburn National Bancorporation, Inc   180 
 4,012,923     Australia & New Zealand Banking Group Ltd   83,989 
 91,721     Awa Bank Ltd   564 
 1,781,539     Axis Bank Ltd   13,301 
 64,596  e  Banc of California, Inc   1,263 
 22,684,445     Banca Intesa S.p.A.   65,632 
6

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 2,635,178     Banca Intesa S.p.A. RSP  $7,962 
 189,897  *,e  Banca Monte dei Paschi di Siena S.p.A   546 
 2,824,823  e  Banca Popolare dell’Emilia Romagna Scrl   15,413 
 265,248  e  Banca Popolare di Sondrio SCARL   1,064 
 34,835     Bancfirst Corp   2,062 
 852,452  e  Banche Popolari Unite Scpa   3,265 
 557,762     Banco ABC Brasil S.A.   2,169 
 2,438,500     Banco Bilbao Vizcaya Argentaria S.A.   17,198 
 2,718,112  *,e  Banco BPM S.p.A   7,896 
 1,015,970  *  Banco Bradesco S.A.   6,391 
 4,217,172  *  Banco Bradesco S.A. (Preference)   29,270 
 5,363,842  *  Banco Comercial Portugues S.A.   1,604 
 22,307,367     Banco de Chile   3,437 
 39,815     Banco de Credito e Inversiones   2,649 
 1,706,400     Banco de Oro Universal Bank   4,012 
 1,006,158     Banco de Sabadell S.A.   1,680 
 702,700  g  Banco del Bajio S.A.   1,463 
 3,473,332     Banco do Brasil S.A.   25,675 
 1,339,300     Banco do Estado do Rio Grande do Sul   5,097 
 16,063,377  *,†,m  Banco Espirito Santo S.A.   188 
 4,733,565  *  Banco Itau Holding Financeira S.A.   49,268 
 1,442,048     Banco Santander Brasil S.A.   10,902 
 60,882,306     Banco Santander Chile S.A.   4,777 
 1,674,704     Banco Santander Mexico S.A. Institucion de Banca Multiple Grupo Financiero Santand   2,262 
 18,417,747     Banco Santander S.A.   98,433 
 218,368     BanColombia S.A.   2,631 
 943,451     BanColombia S.A. (Preference)   11,498 
 183,881     BancorpSouth Bank   6,059 
 175,400     Bangkok Bank PCL (ADR)   1,036 
 710,600     Bangkok Bank PCL (Foreign)   4,252 
 396,000     Bank Alfalah Ltd   170 
 10,896     Bank Handlowy w Warszawie S.A.   206 
 520,055     Bank Hapoalim Ltd   3,526 
 1,974,967     Bank Leumi Le-Israel   11,686 
 524,790  *  Bank Millennium S.A.   1,124 
 31,693,894     Bank of America Corp   893,451 
 107,300  *  Bank of Beijing Co Ltd   98 
 170,085,372     Bank of China Ltd   84,349 
 23,233     Bank of Commerce Holdings   296 
 21,615,946     Bank of Communications Co Ltd   16,544 
 1,068,179     Bank of East Asia Ltd   4,257 
 132,325     Bank of Georgia Group plc   3,282 
 27,443     Bank of Hawaii Corp   2,289 
 7,650,882     Bank of Ireland Group plc   59,373 
 8,700     Bank of Iwate Ltd   334 
 315,000     Bank of Kaohsiung   97 
 384,484     Bank of Kyoto Ltd   17,752 
 10,714     Bank of Marin Bancorp   866 
 796,580     Bank of Montreal   61,574 
 7,099  e  Bank of Nagoya Ltd   246 
 134,300     Bank of Nanjing Co Ltd   157 
 49,700  *  Bank of Ningbo Co Ltd   122 
7

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,505,300     Bank of Nova Scotia  $85,235 
 495,096     Bank of NT Butterfield & Son Ltd   22,636 
 41,100     Bank of Okinawa Ltd   1,505 
 8,861  *  Bank of Princeton   295 
 252,632     Bank of Queensland Ltd   1,902 
 23,154     Bank of Saga Ltd   518 
 41,400     Bank of Shanghai Co Ltd   98 
 233,353     Bank of the Ozarks, Inc   10,510 
 1,257,088     Bank of the Philippine Islands   2,086 
 122,100     Bank of the Ryukyus Ltd   1,797 
 154,435     Bank Pekao S.A.   4,648 
 75,829,557     Bank Rakyat Indonesia   14,998 
 29,730     Bank Zachodni WBK S.A.   2,632 
 59,090     BankFinancial Corp   1,043 
 794,998     Bankia S.A.   2,965 
 546,500     Bankinter S.A.   5,303 
 252,368     BankUnited   10,309 
 8,668     Bankwell Financial Group, Inc   279 
 77,123     Banner Corp   4,637 
 1,762     Banque Cantonale Vaudoise   1,354 
 35,312     Bar Harbor Bankshares   1,070 
 1,890,812  *  Barclays Africa Group Ltd   21,956 
 3,456,036     Barclays plc   8,542 
 216,813  g  BAWAG Group AG.   10,088 
 15,798  *,e  Baycom Corp   391 
 905,974     BB&T Corp   45,697 
 272,020  e  BBVA Banco Frances S.A. (ADR)   3,362 
 18,809     BCB Bancorp, Inc   282 
 362,722     Bendigo Bank Ltd   2,906 
 328,366     Beneficial Bancorp, Inc   5,320 
 123,174     Berkshire Hills Bancorp, Inc   5,001 
 89,143     Blue Hills Bancorp, Inc   1,979 
 1,081,913     BNP Paribas   66,924 
 4,221,432     BOC Hong Kong Holdings Ltd   19,840 
 90,110  *,e  BofI Holding, Inc   3,686 
 26,050     BOK Financial Corp   2,449 
 124,131     Boston Private Financial Holdings, Inc   1,974 
 13,243     BRE Bank S.A.   1,408 
 33,392     Bridge Bancorp, Inc   1,200 
 19,006  *  Bridgewater Bancshares, Inc   242 
 166,539     Brookline Bancorp, Inc   3,098 
 29,583     Bryn Mawr Bank Corp   1,370 
 815,861     BS Financial Group, Inc   6,836 
 12,755  *  BSB Bancorp, Inc   439 
 4,931,109     Bumiputra-Commerce Holdings BHD   6,648 
 14,658  e  Business First Bancshares, Inc   386 
 26,000  *  Byline Bancorp, Inc   581 
 4,761     C&F Financial Corp   298 
 214,347  e  Cadence BanCorp   6,188 
 6,245,266     CaixaBank S.A.   26,881 
 5,700  e  Cambridge Bancorp   493 
 22,557     Camden National Corp   1,031 
 23,578     Can Fin Homes Ltd   117 
 507,020     Canadian Imperial Bank of Commerce   44,105 
8

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 51,903  e  Canadian Western Bank  $1,368 
 413,600     Canara Bank   1,522 
 17,357     Capital City Bank Group, Inc   410 
 37,869     Capitec Bank Holdings Ltd   2,386 
 192,976     Capitol Federal Financial   2,540 
 12,379  *  Capstar Financial Holdings, Inc   229 
 29,699     Carolina Financial Corp   1,275 
 452,420     Cathay General Bancorp   18,318 
 7,165  e  CB Financial Services, Inc   246 
 28,261  e  CBTX, Inc   934 
 535,197     Centerstate Banks of Florida, Inc   15,960 
 343,730     Central Pacific Financial Corp   9,848 
 17,511     Central Valley Community Bancorp   371 
 4,648     Century Bancorp, Inc   355 
 5,055,885     Chang Hwa Commercial Bank   2,931 
 77,916  *,g  Charter Court Financial Services Group plc   343 
 31,461     Charter Financial Corp   760 
 108,198     Chemical Financial Corp   6,023 
 4,621     Chemung Financial Corp   232 
 1,127,532     Chiba Bank Ltd   7,952 
 31,000     Chiba Kogyo Bank Ltd   135 
 7,616,481     China Citic Bank   4,757 
 144,495,359     China Construction Bank   132,219 
 212,600  *  China Construction Bank Corp   210 
 18,914,861     China Development Financial Holding Corp   6,905 
 3,142,685     China Everbright Bank Co Ltd   1,348 
 4,868,896     China Merchants Bank Co Ltd   17,910 
 159,600  *  China Merchants Bank Co Ltd (Class A)   636 
 150,000  *  China Minsheng Banking Corp Ltd   158 
 6,811,572  e  China Minsheng Banking Corp Ltd   4,867 
 37,810,781     Chinatrust Financial Holding Co   27,168 
 212,000     Chong Hing Bank Ltd   411 
 11,361,584     Chongqing Rural Commercial Bank   6,744 
 607,700     Chugoku Bank Ltd   6,132 
 5,200     Chukyo Bank Ltd   109 
 282,149     CIT Group, Inc   14,223 
 10,239,190  n  Citigroup, Inc   685,207 
 18,083     Citizens & Northern Corp   468 
 4,547,897     Citizens Financial Group, Inc   176,913 
 22,368     City Holding Co   1,683 
 89,765  *  City Union Bank Ltd   243 
 14,820  e  Civista Bancshares, Inc   359 
 21,667     CNB Financial Corp   651 
 147,441     CoBiz, Inc   3,167 
 12,752     Codorus Valley Bancorp, Inc   391 
 18,502  *,e  Collector AB   125 
 111,346     Columbia Banking System, Inc   4,554 
 75,329  *,e  Columbia Financial, Inc   1,247 
 20,185     Comdirect Bank AG.   292 
 2,269,653     Comerica, Inc   206,357 
 63,910     Commerce Bancshares, Inc   4,136 
 15,245  e  Commerce Union Bancshares, Inc   428 
 169,912  *  Commercial Bank of Qatar QSC   1,778 
9

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,124,784     Commercial International Bank  $5,368 
 1,427,784  *  Commerzbank AG.   13,620 
 1,290,665     Commonwealth Bank of Australia   69,609 
 76,433     Community Bank System, Inc   4,515 
 34,977  *,e  Community Bankers Trust Corp   313 
 6,461     Community Financial Corp   228 
 33,751     Community Trust Bancorp, Inc   1,686 
 1,540,629     Concordia Financial Group Ltd   7,829 
 143,077     ConnectOne Bancorp, Inc   3,563 
 232,130,464     Corpbanca S.A.   2,269 
 8,348     County Bancorp, Inc   230 
 91,341     Credicorp Ltd (NY)   20,563 
 4,652,012     Credit Agricole S.A.   61,744 
 52,634     Credito Emiliano S.p.A.   390 
 3,941,275  *  Credito Valtellinese S.p.A   443 
 32,016     Cullen/Frost Bankers, Inc   3,465 
 227,856  *  Customers Bancorp, Inc   6,467 
 157,879     CVB Financial Corp   3,540 
 721,193  e  CYBG plc   3,021 
 5,646,074  *,†,m  Cyprus Popular Bank Public Co Ltd   66 
 1,237,627     Dah Sing Banking Group Ltd   2,590 
 420,708     Dah Sing Financial Holdings Ltd   2,453 
 13,100     Daishi Bank Ltd   520 
 841,884     Danske Bank AS   26,228 
 1,619,260     DBS Group Holdings Ltd   31,490 
 338,347  g  Deutsche Pfandbriefbank AG.   4,721 
 100,797     Development Credit Bank Ltd   243 
 664,610     Dewan Housing Finance Corp Ltd   6,181 
 164,724     DGB Financial Group Co Ltd   1,515 
 47,663     Dime Community Bancshares   929 
 912,923     DNB NOR Holding ASA   17,777 
 346,034  *  Doha Bank QSC   2,542 
 5,508,189  *  Dubai Islamic Bank PJSC   7,303 
 8,993,093     E.Sun Financial Holding Co Ltd   6,262 
 169,063  *  Eagle Bancorp, Inc   10,364 
 389,782     East West Bancorp, Inc   25,414 
 424,100     EastWest Banking Corp   112 
 37,300     Ehime Bank Ltd   433 
 68,000     Eighteenth Bank Ltd   177 
 10,703  *  Entegra Financial Corp   314 
 13,845     Enterprise Bancorp, Inc   560 
 68,100     Enterprise Financial Services Corp   3,674 
 6,942     Equitable Group, Inc   314 
 20,091  *  Equity Bancshares, Inc   833 
 880,719     Erste Bank der Oesterreichischen Sparkassen AG.   36,717 
 9,158  *,e  Esquire Financial Holdings, Inc   242 
 13,409     ESSA Bancorp, Inc   212 
 597,350  *  Essent Group Ltd   21,397 
 1,775,832  *  Eurobank Ergasias S.A.   1,846 
 7,447     Evans Bancorp, Inc   343 
 2,138,074     Far Eastern International Bank   708 
 13,813  e  Farmers & Merchants Bancorp, Inc   557 
 11,000     Farmers Capital Bank Corp   573 
 47,071     Farmers National Banc Corp   751 
10

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 19,708     FB Financial Corp  $802 
 307,286  *  FCB Financial Holdings, Inc   18,068 
 76,123     Federal Agricultural Mortgage Corp (Class C)   6,811 
 910,644     Federal Bank Ltd   1,090 
 4,285  e  Fidelity D&D Bancorp, Inc   266 
 37,947     Fidelity Southern Corp   964 
 1,367,287     Fifth Third Bancorp   39,241 
 42,725     Financial Institutions, Inc   1,406 
 1,033,275     FinecoBank Banca Fineco S.p.A   11,632 
 63,892     First Bancorp (NC)   2,614 
 1,690,846  *  First Bancorp (Puerto Rico)   12,935 
 14,786     First Bancorp, Inc   417 
 21,463     First Bancshares, Inc   772 
 25,199     First Bank   350 
 171,739     First Busey Corp   5,448 
 12,878     First Business Financial Services, Inc   335 
 9,007  e  First Choice Bancorp   275 
 2,931     First Citizens Bancshares, Inc (Class A)   1,182 
 151,377     First Commonwealth Financial Corp   2,348 
 24,057     First Community Bancshares, Inc   766 
 11,002     First Community Corp   276 
 21,188     First Connecticut Bancorp   648 
 30,295     First Defiance Financial Corp   2,032 
 197,954     First Financial Bancorp   6,067 
 98,899  e  First Financial Bankshares, Inc   5,034 
 23,063     First Financial Corp   1,046 
 9,643,568     First Financial Holding Co Ltd   6,511 
 13,368     First Financial Northwest, Inc   261 
 83,377  *  First Foundation, Inc   1,546 
 7,015  e  First Guaranty Bancshares, Inc   183 
 391,593     First Hawaiian, Inc   11,364 
 621,118     First Horizon National Corp   11,081 
 190,935     First International Bank Of Israel Ltd   3,992 
 12,110     First Internet Bancorp   413 
 138,112     First Interstate Bancsystem, Inc   5,828 
 184,074     First Merchants Corp   8,541 
 18,144     First Mid-Illinois Bancshares, Inc   713 
 156,106     First Midwest Bancorp, Inc   3,976 
 11,825  e  First National Financial Corp   257 
 16,366  *  First Northwest Bancorp   261 
 58,448     First of Long Island Corp   1,452 
 117,827     First Republic Bank   11,404 
 2,796     First Savings Financial Group, Inc   205 
 10,486  *  First United Corp   214 
 43,835  *  Flagstar Bancorp, Inc   1,502 
 65,986     Flushing Financial Corp   1,722 
 8,093     FNB Bancorp   297 
 642,111     FNB Corp   8,617 
 19,138  *,e  Franklin Financial Network, Inc   720 
 4,848     FS Bancorp, Inc   307 
 2,986,812     Fukuoka Financial Group, Inc   14,989 
 299,110     Fulton Financial Corp   4,935 
 261,576  e  Genworth MI Canada, Inc   8,512 
11

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 151,063  e  Genworth Mortgage Insurance Australia Ltd  $287 
 31,375     German American Bancorp, Inc   1,125 
 270,499  *  Get Bank S.A.   72 
 129,083     Glacier Bancorp, Inc   4,993 
 27,182     Great Southern Bancorp, Inc   1,555 
 218,261     Great Western Bancorp, Inc   9,165 
 194,698     Green Bancorp, Inc   4,205 
 4,883  e  Greene County Bancorp, Inc   166 
 198,132     Gruh Finance Ltd   880 
 3,833,339  *  Grupo Aval Acciones y Valores   1,609 
 3,040,968  e  Grupo Financiero Banorte S.A. de C.V.   17,926 
 54,000  e  Grupo Financiero Galicia S.A. (ADR) (Class B)   1,781 
 1,924,265  e  Grupo Financiero Inbursa S.A.   2,694 
 298,900     Grupo Financiero Interacciones S.A. de C.V.   1,431 
 546,300  e  Grupo Supervielle S.A. (ADR)   5,780 
 38,719     Guaranty Bancorp   1,154 
 11,840     Guaranty Bancshares, Inc   390 
 471,383     Gunma Bank Ltd   2,468 
 262,800     Habib Bank Ltd   360 
 217,600     Hachijuni Bank Ltd   927 
 290,954     Hana Financial Group, Inc   11,173 
 398,719     Hancock Holding Co   18,600 
 841,373     Hang Seng Bank Ltd   21,009 
 98,722     Hanmi Financial Corp   2,799 
 21,823  *  HarborOne Bancorp, Inc   413 
 40,511     HDFC Bank Ltd   1,248 
 44,603     Heartland Financial USA, Inc   2,446 
 196,124     Heritage Commerce Corp   3,332 
 51,256     Heritage Financial Corp   1,786 
 329,147     Hilltop Holdings, Inc   7,264 
 1,914     Hingham Institution for Savings   420 
 167,800     Hiroshima Bank Ltd   1,113 
 11,300     Hokkoku Bank Ltd   444 
 16,100     Hokuetsu Bank Ltd   320 
 70,300     Hokuhoku Financial Group, Inc   933 
 11,677     Home Bancorp, Inc   544 
 434,581     Home Bancshares, Inc   9,804 
 31,707  *,e  Home Capital Group, Inc   362 
 41,992  *  HomeStreet, Inc   1,132 
 52,133  *  HomeTrust Bancshares, Inc   1,468 
 742,516     Hong Leong Bank BHD   3,348 
 159,820     Hong Leong Credit BHD   712 
 197,765     Hope Bancorp, Inc   3,526 
 107,728     Horizon Bancorp   2,229 
 1,981,058     Housing Development Finance Corp   55,201 
 19,718  *  Howard Bancorp, Inc   355 
 11,970,967     HSBC Holdings plc   111,861 
 6,792,975     Hua Nan Financial Holdings Co Ltd   3,952 
 121,400     Huaxia Bank Co Ltd   136 
 9,796,390     Huntington Bancshares, Inc   144,595 
 127,992     Hyakugo Bank Ltd   502 
 150,000     Hyakujushi Bank Ltd   492 
 209,264     IBERIABANK Corp   15,862 
 3,928,683     ICICI Bank Ltd   15,802 
12

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 2,989,189     ICICI Bank Ltd (ADR)  $24,003 
 872,396     IDFC Bank Ltd   495 
 17,992  *,e  Impac Mortgage Holdings, Inc   171 
 52,334     Independent Bank Corp (MA)   4,103 
 97,088     Independent Bank Corp (MI)   2,476 
 53,033     Independent Bank Group, Inc   3,543 
 72,595     Indian Bank   365 
 94,780,706     Industrial & Commercial Bank of China   70,691 
 42,200     Industrial & Commercial Bank of China Ltd   34 
 123,140     Industrial Bank Co Ltd   267 
 218,961     Industrial Bank of Korea   3,020 
 14,272,537     ING Groep NV   204,875 
 102,148     International Bancshares Corp   4,372 
 12,065  e  Investar Holding Corp   334 
 6,349,885  *  Investimentos Itau S.A. - PR   15,040 
 884,686     Investors Bancorp, Inc   11,315 
 541,290  *,†,m  Irish Bank Resolution Corp Ltd   0 
 2,081,885     Israel Discount Bank Ltd   6,083 
 137,300     Iyo Bank Ltd   905 
 128,821  *  Jammu & Kashmir Bank Ltd   95 
 290,174     Japan Post Bank Co Ltd   3,374 
 96,638     JB Financial Group Co Ltd   482 
 96,200     Jimoto Holdings Inc   146 
 12,609,260     JPMorgan Chase & Co   1,313,885 
 16,455     Juroku Bank Ltd   433 
 50,847     Jyske Bank   2,779 
 131,140  *  Kansai Mirai Financial Group, Inc   994 
 847,022     Karnataka Bank Ltd   1,361 
 509,465     Karur Vysya Bank Ltd   772 
 200,000     Kasikornbank PCL - NVDR   1,170 
 1,733,797     Kasikornbank PCL (Foreign)   10,450 
 743,663     KB Financial Group, Inc   35,005 
 319,304     KBC Groep NV   24,523 
 398,051     Kearny Financial Corp   5,354 
 735,000     Keiyo Bank Ltd   3,152 
 1,261,741     Keycorp   24,654 
 583,632     Kiatnakin Bank PCL (Foreign)   1,193 
 566,000     King’s Town Bank   607 
 43,000     Kiyo Bank Ltd   707 
 10,405     KJB Financial Group Co Ltd   100 
 72,768     Komercni Banka AS   3,056 
 3,888,024     Krung Thai Bank PCL (Foreign)   1,959 
 202,900     Kyushu Financial Group, Inc   976 
 97,667     Lakeland Bancorp, Inc   1,939 
 67,304     Lakeland Financial Corp   3,243 
 28,479  e  Laurentian Bank of Canada   972 
 12,136     LCNB Corp   239 
 261,371     LegacyTexas Financial Group, Inc   10,199 
 11,795  *,e  LendingTree, Inc   2,522 
 2,039     Level One Bancorp, Inc   55 
 1,076,232  *  Liberbank S.A.   550 
 892,677     LIC Housing Finance Ltd   6,113 
 38,419     Live Oak Bancshares, Inc   1,178 
13

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 119,119,228     Lloyds TSB Group plc  $98,835 
 24,063     Luther Burbank Corp   277 
 68,657     M&T Bank Corp   11,682 
 49,444     Macatawa Bank Corp   600 
 3,298,488     Malayan Banking BHD   7,346 
 1,017,237     Malaysia Building Society   291 
 10,577  *,e  Malvern Bancorp, Inc   258 
 343,237  *  Masraf Al Rayan   3,293 
 250,025     MB Financial, Inc   11,676 
 24,679     MBT Financial Corp   263 
 154,700     MCB Bank Ltd   252 
 6,525,929     Mediobanca S.p.A.   60,365 
 11,135,734     Mega Financial Holding Co Ltd   9,818 
 53,728     Mercantile Bank Corp   1,986 
 49,586     Merchants Bancorp   1,415 
 257,891     Meridian Bancorp, Inc   4,939 
 26,855     Meta Financial Group, Inc   2,616 
 44,042  *,e  Metro Bank plc   1,874 
 4,793,844     Metropolitan Bank & Trust   6,589 
 32,365  *  Metropolitan Bank Holding Corp   1,699 
 562,605  *  MGIC Investment Corp   6,031 
 7,212  e  Mid Penn Bancorp, Inc   252 
 3,774     Middlefield Banc Corp   191 
 31,930     Midland States Bancorp, Inc   1,094 
 22,887  e  Midsouth Bancorp, Inc   303 
 16,500     MidWestOne Financial Group, Inc   557 
 8,714,913     Mitsubishi UFJ Financial Group, Inc   49,369 
 619,855     Mitsui Trust Holdings, Inc   24,455 
 8,900     Miyazaki Bank Ltd   271 
 48,474     Mizrahi Tefahot Bank Ltd   892 
 10,850,658     Mizuho Financial Group, Inc   18,278 
 3,188,932  g  Moneta Money Bank AS   10,941 
 14,968     Musashino Bank Ltd   444 
 9,418     MutualFirst Financial, Inc   356 
 12,904     MVB Financial Corp   233 
 50,392     Nanto Bank Ltd   1,283 
 1,826,925     National Australia Bank Ltd   37,095 
 250,418     National Bank Holdings Corp   9,664 
 2,087,007     National Bank of Abu Dhabi PJSC   6,903 
 336,342  e  National Bank of Canada   16,149 
 5,322,560  *  National Bank of Greece S.A.   1,624 
 314,500     National Bank Of Pakistan   123 
 9,882  e  National Bankshares, Inc   459 
 39,939  *  National Commerce Corp   1,849 
 286,974  *,e  Nationstar Mortgage Holdings, Inc   5,031 
 64,072     NBT Bancorp, Inc   2,444 
 205,143     Nedbank Group Ltd   3,726 
 368,404     New York Community Bancorp, Inc   4,067 
 19,561  *  Nicolet Bankshares, Inc   1,078 
 99,160     Nishi-Nippon Financial Holdings, Inc   1,156 
 109,035  *  NMI Holdings, Inc   1,777 
 670,419     Nordea Bank AB   6,431 
 174,200     North Pacific Bank Ltd   581 
 10,753     Northeast Bancorp   234 
14

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 67,040     Northfield Bancorp, Inc  $1,114 
 10,108     Northrim BanCorp, Inc   400 
 141,898     Northwest Bancshares, Inc   2,468 
 171,264  *  Norwegian Finans Holding ASA   1,896 
 8,643  e  Norwood Financial Corp   311 
 10,636  e  Oak Valley Bancorp   243 
 746,000     O-Bank Co Ltd   207 
 168,045     OceanFirst Financial Corp   5,035 
 1,819  e  Oconee Federal Financial Corp   53 
 367  *  Ocwen Financial Corp   1 
 206,438  e  OFG Bancorp   2,900 
 148,000     Ogaki Kyoritsu Bank Ltd   3,754 
 5,898  e  Ohio Valley Banc Corp   309 
 33,300     Oita Bank Ltd   1,130 
 23,654     Old Line Bancshares, Inc   826 
 229,629     Old National Bancorp   4,271 
 42,361     Old Second Bancorp, Inc   610 
 852,274     OneSavings Bank plc   4,599 
 19,043  *,e  OP Bancorp   242 
 30,741     Opus Bank   882 
 46,428  e  Origin Bancorp, Inc   1,901 
 57,010     Oritani Financial Corp   924 
 11,429     Orrstown Financial Services, Inc   297 
 352,929     OTP Bank   12,743 
 3,246,125     Oversea-Chinese Banking Corp   27,650 
 24,353  *  Pacific Mercantile Bancorp   237 
 69,259  *  Pacific Premier Bancorp, Inc   2,642 
 357,320     PacWest Bancorp   17,659 
 620,111     Paragon Group of Cos plc   3,910 
 20,373     Park National Corp   2,270 
 8,824     Parke Bancorp, Inc   209 
 26,928     PCSB Financial Corp   535 
 13,480  *  PDL Community Bancorp   212 
 59,177     Peapack Gladstone Financial Corp   2,047 
 6,849     Penns Woods Bancorp, Inc   307 
 29,831  *  PennyMac Financial Services, Inc   586 
 7,870  e  Peoples Bancorp of North Carolina, Inc   252 
 45,714     Peoples Bancorp, Inc   1,727 
 10,720  e  Peoples Financial Services Corp   504 
 259,194     People’s United Financial, Inc   4,689 
 25,270     People’s Utah Bancorp   902 
 4,190,520  *,e  Permanent TSB Group Holdings plc   9,737 
 327,976  *  PHH Corp   3,562 
 3,000,000     Philippine National Bank   2,705 
 173,200     Ping An Bank Co Ltd   237 
 159,927     Pinnacle Financial Partners, Inc   9,812 
 287,878  *  Piraeus Bank S.A.   974 
 1,978,987     PNC Financial Services Group, Inc   267,361 
 248,717     Popular, Inc   11,244 
 3,110,000  g  Postal Savings Bank of China Co Ltd   2,019 
 1,019,922  *  Powszechna Kasa Oszczednosci Bank Polski S.A.   10,020 
 51,425     Preferred Bank   3,161 
 16,621     Premier Financial Bancorp, Inc   310 
15

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 131,363     Prosperity Bancshares, Inc  $8,980 
 7,835  *  Provident Bancorp, Inc   205 
 218,407     Provident Financial Services, Inc   6,013 
 13,416     Prudential Bancorp, Inc   259 
 61,449,100     PT Bank Bukopin Tbk   1,483 
 12,527,174     PT Bank Central Asia Tbk   18,708 
 2,912,157     PT Bank Danamon Indonesia Tbk   1,296 
 1,637,400     PT Bank Jabar Banten Tbk   239 
 16,216,991     PT Bank Mandiri Persero Tbk   7,759 
 7,360,819     PT Bank Negara Indonesia   3,617 
 44,500,000  *  PT Bank Pan Indonesia Tbk   2,640 
 42,509,600     PT Bank Pembangunan Daerah Jawa Timur Tbk   2,015 
 3,161,400     PT Bank Tabungan Negara Tbk   540 
 3,022,984     Public Bank BHD   17,488 
 104,992  *  Qatar First Bank   149 
 172,948  *  Qatar Islamic Bank SAQ   5,510 
 443,507  *  Qatar National Bank   18,524 
 76,996     QCR Holdings, Inc   3,653 
 597,098     Radian Group, Inc   9,685 
 88,225  *  Raiffeisen International Bank Holding AG.   2,703 
 21,103     RBB Bancorp   678 
 64,538  g  RBL Bank Ltd   520 
 987,800  e  Regional SAB de C.V.   5,304 
 1,863,859     Regions Financial Corp   33,139 
 73,172     Renasant Corp   3,331 
 14,948     Republic Bancorp, Inc (Class A)   677 
 71,815  *,e  Republic First Bancorp, Inc   564 
 2,189,155     Resona Holdings, Inc   11,668 
 1,032,402     RHB Capital BHD   1,393 
 32,094     Riverview Bancorp, Inc   271 
 5,200  *,†,m  Roskilde Bank   0 
 1,829,474     Royal Bank of Canada   137,755 
 2,087,133  *  Royal Bank of Scotland Group plc   7,026 
 52,360     S&T Bancorp, Inc   2,264 
 21,400  *  San ju San Financial Group, Inc   387 
 170,153     Sandy Spring Bancorp, Inc   6,978 
 77,900     San-In Godo Bank Ltd   695 
 11,036  e  SB One Bancorp   328 
 243,809     Sberbank of Russia (ADR)   3,500 
 4,068,013     Sberbank of Russian Federation (ADR)   58,191 
 69,707  *  Seacoast Banking Corp of Florida   2,201 
 222,050     Security Bank Corp   830 
 17,255  *,e  Select Bancorp, Inc   232 
 128,580     Senshu Ikeda Holdings, Inc   434 
 70,800     ServisFirst Bancshares, Inc   2,954 
 658,193     Seven Bank Ltd   2,010 
 160,700  *  Shanghai Pudong Development Bank Co Ltd   232 
 289,000     Shiga Bank Ltd   1,478 
 34,100     Shikoku Bank Ltd   420 
 1,112,948     Shinhan Financial Group Co Ltd   43,091 
 158,457     Shinsei Bank Ltd   2,431 
 1,256,200     Shizuoka Bank Ltd   11,295 
 26,275     Shore Bancshares, Inc   500 
 17,406     SI Financial Group, Inc   257 
16

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 2,192,953     Siam Commercial Bank PCL (ADR)  $7,829 
 1,730,317     Siam Commercial Bank PCL (Foreign)   6,178 
 20,504     Sierra Bancorp   579 
 147,391  *  Signature Bank   18,848 
 141,417     Simmons First National Corp (Class A)   4,228 
 10,217,666     SinoPac Financial Holdings Co Ltd   3,683 
 51,319  g  Skandiabanken ASA   539 
 959,859     Skandinaviska Enskilda Banken AB (Class A)   9,084 
 17,149  *  SmartFinancial, Inc   442 
 544,580     Societe Generale   22,889 
 2,917,528     South Indian Bank Ltd   951 
 91,931     South State Corp   7,929 
 9,746  *  Southern First Bancshares, Inc   431 
 10,676     Southern Missouri Bancorp, Inc   417 
 43,732     Southern National Bancorp of Virginia, Inc   780 
 49,901     Southside Bancshares, Inc   1,681 
 232,539     Spar Nord Bank AS   2,485 
 26,134  e  Sparebank  Oestlandet   279 
 237,275     Sparebanken Midt-Norge   2,457 
 280,652     Sparebanken Nord-Norge   2,095 
 3,193  *,e  Spirit of Texas Bancshares, Inc   66 
 2,209     St Galler Kantonalbank   1,148 
 2,166,916     Standard Bank Group Ltd   30,255 
 1,646,405     Standard Chartered plc   14,955 
 98,549     State Bank & Trust Co   3,292 
 1,778,481  *  State Bank of India   6,742 
 35,767     Sterling Bancorp, Inc   478 
 149,651     Sterling Bancorp/DE   3,517 
 72,541     Stock Yards Bancorp, Inc   2,767 
 2,963,189     Sumitomo Mitsui Financial Group, Inc   115,582 
 16,179     Summit Financial Group, Inc   434 
 4,079,587     SunTrust Banks, Inc   269,334 
 2,068,690     Suruga Bank Ltd   18,427 
 72,114  *  SVB Financial Group   20,824 
 278,067     Svenska Handelsbanken AB   3,080 
 471,593     Swedbank AB (A Shares)   10,048 
 125,687     Sydbank AS   4,309 
 327,806     Synovus Financial Corp   17,318 
 1,276,338     Taichung Commercial Bank   437 
 9,090,620     Taishin Financial Holdings Co Ltd   4,290 
 3,703,669     Taiwan Business Bank   1,142 
 13,156,005     Taiwan Cooperative Financial Holding   7,698 
 963,687     TCF Financial Corp   23,726 
 403,397     TCS Group Holding plc (ADR)   8,350 
 11,577     Territorial Bancorp, Inc   359 
 133,598  *  Texas Capital Bancshares, Inc   12,224 
 183,230     TFS Financial Corp   2,890 
 1,121,700     Thanachart Capital PCL   1,583 
 217,383  *  The Bancorp, Inc   2,274 
 115,467  e  Timbercreek Financial Corp   803 
 9,349     Timberland Bancorp, Inc   349 
 229,280     Tisco Bank PCL   581 
 9,901,387     TMB Bank PCL (Foreign)   688 
17

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 75,000     Tochigi Bank Ltd  $260 
 104,500     Toho Bank Ltd   378 
 15,593     Tokyo TY Financial Group, Inc   374 
 253,300     Tomony Holdings, Inc   1,084 
 41,617     Tompkins Trustco, Inc   3,574 
 2,671,746     Toronto-Dominion Bank   154,637 
 36,800     Towa Bank Ltd   377 
 100,175     TowneBank   3,216 
 60,537     Trico Bancshares   2,267 
 82,118  *  Tristate Capital Holdings, Inc   2,143 
 79,793  *  Triumph Bancorp, Inc   3,252 
 136,524     Trustco Bank Corp NY   1,215 
 102,689     Trustmark Corp   3,351 
 2,664,024     Turkiye Garanti Bankasi AS   4,860 
 560,061     Turkiye Halk Bankasi AS   904 
 1,329,326     Turkiye Is Bankasi (Series C)   1,649 
 11,316,703     Turkiye Sinai Kalkinma Bankasi AS   2,389 
 4,199,984  *  Turkiye Vakiflar Bankasi Tao   4,481 
 163,147     UMB Financial Corp   12,437 
 572,993     Umpqua Holdings Corp   12,944 
 514,189  g  Unicaja Banco S.A.   881 
 5,010,877  e  UniCredit S.p.A.   83,052 
 130,708  *  Union Bank of India   156 
 99,600     Union Bankshares Corp   3,872 
 5,412  e  Union Bankshares, Inc   281 
 389,600     United Bank Ltd   542 
 153,688     United Bankshares, Inc   5,594 
 367,676     United Community Banks, Inc   11,277 
 100,131     United Community Financial Corp   1,100 
 121,687     United Financial Bancorp, Inc (New)   2,132 
 1,695,426     United Overseas Bank Ltd   33,228 
 22,184     United Security Bancshares   248 
 11,957     Unity Bancorp, Inc   272 
 43,183     Univest Corp of Pennsylvania   1,188 
 1,374,447     US Bancorp   68,750 
 13,207     Valiant Holding   1,493 
 613,693     Valley National Bancorp   7,462 
 290,706     Van Lanschot Kempen NV (ADR)   8,216 
 35,163  *  Veritex Holdings, Inc   1,092 
 635,712     Vijaya Bank   475 
 1,058,435     Virgin Money Holdings UK plc   5,096 
 4,396,033     VTB Bank OJSC (GDR)   6,695 
 229,488     Walker & Dunlop, Inc   12,771 
 128,576     Washington Federal, Inc   4,204 
 27,806     Washington Trust Bancorp, Inc   1,616 
 64,406     Waterstone Financial, Inc   1,098 
 53,018     Webster Financial Corp   3,377 
 10,705,400     Wells Fargo & Co   593,507 
 67,595  e  WesBanco, Inc   3,044 
 27,141     West Bancorporation, Inc   683 
 39,187  e  Westamerica Bancorporation   2,214 
 315,023  *  Western Alliance Bancorp   17,833 
 40,665     Western New England Bancorp, Inc   447 
 2,945,905     Westpac Banking Corp   63,976 
18

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 129,599     Wintrust Financial Corp  $11,282 
 297,253  *,e  WMIH Corp   398 
 1,163,305     Woori Bank   16,968 
 155,826     WSFS Financial Corp   8,306 
 14,900  e  Yamagata Bank Ltd   316 
 315,492     Yamaguchi Financial Group, Inc   3,549 
 91,000     Yamanashi Chuo Bank Ltd   346 
 1,683,104  *  Yapi ve Kredi Bankasi   906 
 6,027,046     Yes Bank Ltd   29,949 
 2,593,451     Zions Bancorporation   136,649 
       TOTAL BANKS   10,037,340 
               
CAPITAL GOODS - 7.6%
 1,463,354     3M Co   287,871 
 313,034     A.O. Smith Corp   18,516 
 214,404     Aalberts Industries NV   10,242 
 61,915     Aaon, Inc   2,059 
 64,265     AAR Corp   2,988 
 1,147,115     ABB Ltd   25,023 
 3,242,689  *,e  Abengoa S.A.   110 
 1,748,977     Aboitiz Equity Ventures, Inc   1,788 
 215,000     AcBel Polytech, Inc   133 
 158,037     ACS Actividades Construccion y Servicios S.A.   6,376 
 527,256     Acter Co Ltd   3,315 
 91,413     Actuant Corp (Class A)   2,683 
 28,226  e  Acuity Brands, Inc   3,271 
 534,264     Adani Enterprises Ltd   883 
 1,119,200  e  Advan Co Ltd   9,758 
 209,887     Advanced Drainage Systems, Inc   5,992 
 28,300     AECC Aviation Power Co Ltd   95 
 308,350  *  Aecom Technology Corp   10,185 
 36,357     Aecon Group, Inc   428 
 48,005  *  Aegion Corp   1,236 
 453,271  *  AerCap Holdings NV   24,545 
 106,423  *  Aerojet Rocketdyne Holdings, Inc   3,138 
 32,127  *  Aerovironment, Inc   2,295 
 24,712  *,e  AFG Arbonia-Forster Hldg   406 
 9,987     AG Growth International Inc   421 
 143,239     AGCO Corp   8,697 
 529,583  g  Ahlsell AB   3,117 
 40,450     AIA Engineering Ltd   887 
 115,599     Aica Kogyo Co Ltd   4,053 
 98,300     Aichi Corp   575 
 23,800     Aida Engineering Ltd   231 
 182,062     Air Lease Corp   7,641 
 1,259,312     Airbus SE   146,955 
 236,380     Aircastle Ltd   4,846 
 128,000     Airtac International Group   1,817 
 31,695     Alamo Group, Inc   2,864 
 38,022     Alarko Holding AS   38 
 43,672     Albany International Corp (Class A)   2,627 
 215,809     Alfa Laval AB   5,095 
 2,730,014     Alfa S.A. de C.V. (Class A)   3,175 
19

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 30,752  e,g  Alimak Group AB  $471 
 234,127     Allegion plc   18,112 
 26,689,465  *  Alliance Global Group, Inc   5,811 
 24,050     Allied Motion Technologies, Inc   1,152 
 884,170     Allison Transmission Holdings, Inc   35,800 
 26,085     Alstom Projects India Ltd   304 
 44,478     Alstom RGPT   2,041 
 75,529     Alstom T&D India Ltd   320 
 43,884     Altra Holdings, Inc   1,891 
 372,524     Amada Co Ltd   3,575 
 22,671     Amara Raja Batteries Ltd   240 
 28,231  *  Ameresco, Inc   339 
 12,116  e  American Railcar Industries, Inc   478 
 21,480  *  American Woodmark Corp   1,967 
 259,741     Ametek, Inc   18,743 
 7,685     Andritz AG.   407 
 15,600     Anest Iwata Corp   168 
 41,783     Apogee Enterprises, Inc   2,013 
 215,143     Applied Industrial Technologies, Inc   15,092 
 11,653  *  Aprogen KIC, Inc   131 
 457,227     Arabtec Holding Co   238 
 41,003     Arcadis NV   737 
 1,265,371     Arconic, Inc   21,524 
 61,813     Argan, Inc   2,531 
 136,872  *  Armstrong Flooring, Inc   1,922 
 192,955  *  Armstrong World Industries, Inc   12,195 
 31,100     Asahi Diamond Industrial Co Ltd   219 
 262,629     Asahi Glass Co Ltd   10,215 
 390,885     Aselsan Elektronik Sanayi Ve Ticaret AS   1,965 
 3,468,401     Ashok Leyland Ltd   6,377 
 27,303     Ashoka Buildcon Ltd   91 
 1,459,022     Ashtead Group plc   43,449 
 935,957     Assa Abloy AB   19,853 
 74,771     Astec Industries, Inc   4,471 
 47,288     Astral Polytechnik Ltd   695 
 31,778  *  Astronics Corp   1,143 
 858,016     Asunaro Aoki Construction Co Ltd   7,253 
 627,301  *  Atkore International Group, Inc   13,029 
 647,462     Atlas Copco AB (A Shares)   18,751 
 228,443     Atlas Copco AB (B-Shares)   5,951 
 44,082  *  ATS Automation Tooling Systems, Inc   655 
 4,165  g  Aumann AG.   257 
 3,536,263     Austal Ltd   4,858 
 44,100     AVIC Aircraft Co Ltd   104 
 2,012,019     AviChina Industry & Technology Co   1,194 
 147,228  *  Axon Enterprise, Inc   9,302 
 38,610     AZZ, Inc   1,678 
 9,166     B&B Tools AB   97 
 86,283  e  Badger Daylighting Ltd   2,079 
 2,720,359     BAE Systems plc   23,143 
 498,147     Balfour Beatty plc   1,859 
 94,574  *,e  Ballard Power Systems, Inc   272 
 58,500     Bando Chemical Industries Ltd   645 
 142,000  *  Baoye Group Co Ltd   87 
20

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 241,499     Barloworld Ltd  $2,278 
 179,037     Barnes Group, Inc   10,545 
 6,417     Bauer AG.   141 
 8,951     BayWa AG.   303 
 53  *,†,m  Beacon Power Corp   0^
 103,791  *  Beacon Roofing Supply, Inc   4,424 
 183,000  g  Beijing Urban Construction Design & Development Group Co Ltd   82 
 5,193     BEML Ltd   61 
 1,588,837  *  Berjaya Corp BHD   118 
 808,000     BES Engineering Corp   224 
 231,605     Besalco S.A.   211 
 16,915     BGF Co Ltd   164 
 1,044,114     Bharat Heavy Electricals   1,094 
 549,518     Bidvest Group Ltd   7,869 
 7,558     Biesse S.p.A.   294 
 1,983,656     Bizlink Holdings Inc   13,951 
 22,152  *,e  Blue Bird Corp   495 
 13,935     Blue Star Ltd   131 
 13,753  *,e  BlueLinx Holdings, Inc   516 
 189,393  *  BMC Stock Holdings, Inc   3,949 
 26,711     Bobst Group AG.   2,731 
 275,600  g  BOC Aviation Ltd   1,710 
 197,108     Bodycote plc   2,537 
 1,805,716     Boeing Co   605,836 
 8,059,569  *  Bombardier, Inc   31,879 
 51,178     Boskalis Westminster   1,487 
 13,425     Bossard Holding AG.   2,489 
 341,707     Bouygues S.A.   14,682 
 48,098     Brenntag AG.   2,672 
 144,393     Briggs & Stratton Corp   2,543 
 51     Brookfield Business Partners LP   2 
 4,355     Bucher Industries AG.   1,453 
 8,684     Budimex S.A.   286 
 45,696  e  Bufab AB   576 
 289,417  *  Builders FirstSource, Inc   5,293 
 30,400     Bunka Shutter Co Ltd   258 
 279,289     Bunzl plc   8,435 
 24,111     Burckhardt Compression Holding AG.   8,553 
 2,810  e  Burkhalter Holding AG.   238 
 138,836     BWX Technologies, Inc   8,652 
 145,747     CAE, Inc   3,028 
 50,111  e  Caesarstone Sdot-Yam Ltd   757 
 26,187  *  CAI International, Inc   609 
 9,211     Carbone Lorraine   366 
 27,440     Carborundum Universal Ltd   127 
 22,654     Cargotec Corp (B Shares)   1,143 
 92,850     Carlisle Cos, Inc   10,057 
 1,685,586     Caterpillar, Inc   228,683 
 121,300     Central Glass Co Ltd   2,544 
 2,492     Cera Sanitaryware Ltd   101 
 282,625     CH Karnchang PCL   204 
 400,000     CH Karnchang PCL (ADR)   289 
21

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 46,557  *  Chart Industries, Inc  $2,872 
 208,730     Cheil Industries, Inc   21,825 
 164,114     Chemring Group plc   482 
 993,875     Chicony Power Technology Co Ltd   1,673 
 1,081,500     China Aircraft Leasing Group Holdings Ltd   1,107 
 48,800     China Avionics Systems Co Ltd   96 
 78,200  *  China Communications Construction Co Ltd   134 
 4,061,192     China Communications Construction Co Ltd   3,911 
 1,760,500     China Conch Venture Holdings Ltd   6,425 
 1,111,518     China Fangda Group Co Ltd   563 
 63,000     China Gezhouba Group Co Ltd   68 
 298,000  e  China High Speed Transmission Equipment Group Co Ltd   459 
 425,200     China International Marine Containers Group Co Ltd   556 
 70,000  *  China International Marine Containers Group Co Ltd   140 
 115,800     China National Chemical Engineering Co Ltd   117 
 76,600  *  China Nuclear Engineering Corp Ltd   91 
 3,463,443     China Railway Construction Corp   3,504 
 204,500     China Railway Construction Corp Ltd   265 
 5,298,127     China Railway Group Ltd   3,995 
 75,080  e  China Singyes Solar Technologies Holdings Ltd   23 
 32,000  *  China Spacesat Co Ltd   92 
 452,760     China State Construction Engineering Corp Ltd   372 
 1,904,685     China State Construction International Holdings Ltd   1,948 
 114,371     China Yuchai International Ltd   2,482 
 268,100  e  Chip Eng Seng Corp Ltd   165 
 672,800     Chiyoda Corp   5,834 
 4,600     Chiyoda Integre Co Ltd   101 
 15,444,000     Chongqing Machinery & Electric Co Ltd   1,393 
 17,500     Chudenko Corp   436 
 649,375     Chung Hsin Electric & Machinery Manufacturing Corp   447 
 354,836     CIMIC Group Ltd   11,092 
 166,616     CIR-Compagnie Industriali Riunite S.p.A.   204 
 24,493     CIRCOR International, Inc   905 
 8,611,796     Citic Pacific Ltd   12,115 
 1,671,000     Citic Resources Holdings Ltd   176 
 12,224     CJ Corp   1,558 
 2,879,725     CK Hutchison Holdings Ltd   30,485 
 31,900     CKD Corp   523 
 6,939,057     CNH Industrial NV   73,301 
 6,165,377  e  CNH Industrial NV (NYSE)   64,921 
 1,417,343  *  Cobham plc   2,397 
 17,099  *,g  Cochin Shipyard Ltd   110 
 689,331  *  Colfax Corp   21,128 
 48,390     Columbus McKinnon Corp   2,098 
 189,893     Comfort Systems USA, Inc   8,697 
 38,978  *  Commercial Vehicle Group, Inc   286 
 979,601     Compagnie de Saint-Gobain   43,636 
 5,321     Compagnie d’Entreprises CFE   659 
 351,500     COMSYS Holdings Corp   9,303 
 3,460,000     Concord New Energy Group Ltd   152 
 11,092     Construcciones y Auxiliar de Ferrocarriles S.A.   531 
 125,465  *  Continental Building Products Inc   3,958 
22

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,583,450     Continental Engineering Corp  $683 
 2,224     Conzzeta AG.   2,560 
 4,151,400  *,e  Cosco Corp Singapore Ltd   1,136 
 16,585     Cosel Co Ltd   209 
 237,009     Costain Group plc   1,374 
 141,731     Cramo Oyj (Series B)   3,289 
 114,654     Crane Co   9,187 
 231,325  *  Crompton Greaves Ltd   189 
 3,720,321     CRRC Corp Ltd   2,882 
 174,200     CRRC Corp Ltd (Class A)   202 
 2,882     CS Wind Corp   71 
 234,590  *  CSBC Corp Taiwan   137 
 30,547  *  CSW Industrials, Inc   1,614 
 2,366,000     CTCI Corp   3,785 
 38,527     Cubic Corp   2,473 
 106,737     Cummins, Inc   14,196 
 91,335     Curtiss-Wright Corp   10,871 
 68,951     Daelim Industrial Co   4,737 
 4,400     Daetwyler Holding AG.   844 
 201,550  *  Daewoo Engineering & Construction Co Ltd   1,062 
 58,678     Daewoo International Corp   1,127 
 24,800     Dai-Dan Co Ltd   513 
 298,593     Daifuku Co Ltd   13,046 
 52,641     Daihen Corp   316 
 406,000     Daiho Corp   2,413 
 22,600     Daiichi Jitsugyo Co Ltd   662 
 222,250     Daikin Industries Ltd   26,562 
 16,800     Daiwa Industries Ltd   195 
 7,750     Danieli & Co S.p.A.   192 
 20,079     Danieli & Co S.p.A. (RSP)   354 
 5,970  e  Dassault Aviation S.A.   11,352 
 83,157     DCC plc   7,541 
 1,271,510     Deere & Co   177,757 
 7,900     Denyo Co Ltd   122 
 436,656     Deutz AG.   3,360 
 79,160  g  Dilip Buildcon Ltd   768 
 191,222     Diploma plc   3,309 
 55,495  *,e  DIRTT Environmental Solutions   271 
 32,994     DMC Global, Inc   1,481 
 3,395,880     DMCI Holdings, Inc   668 
 13,220     DMG Mori AG.   720 
 508,343  *  Dogan Sirketler Grubu Holdings   107 
 51,823     Donaldson Co, Inc   2,338 
 14,859     Dongkuk Structures & Construction Co Ltd   60 
 33,137     Doosan Bobcat, Inc   952 
 70,955  *  Doosan Heavy Industries and Construction Co Ltd   997 
 422,580  *  Doosan Infracore Co Ltd   3,660 
 32,713     Douglas Dynamics, Inc   1,570 
 1,082,038     Dover Corp   79,205 
 392,953  *  Drake & Scull International PJSC   81 
 2,218,508  *  Dubai Investments PJSC   1,148 
 41,543  *  Ducommun, Inc   1,375 
 47,126     Duerr AG.   2,182 
23

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 24,012  *  DXP Enterprises, Inc  $917 
 45,937  *  Dycom Industries, Inc   4,342 
 1,377,900     Dynasty Ceramic PCL   92 
 5,800     e Tec E&C Ltd   751 
 8,205     Eastern Co   230 
 1,627,459     Eaton Corp   121,636 
 156,665     Ebara Corp   4,861 
 15,737     Eicher Motors Ltd   6,562 
 77,490     Eiffage S.A.   8,419 
 293,900     Ekovest BHD   48 
 16,627     Elbit Systems Ltd   1,958 
 22,857     Elco Holdings Ltd   429 
 3,508     Electra Israel Ltd   872 
 73,853     ElSwedy Cables Holding Co   824 
 73,149  *,e,g  Eltel AB   184 
 344,927     EMCOR Group, Inc   26,277 
 511,302     Emerson Electric Co   35,351 
 1,728,726     Empresa Brasileira de Aeronautica S.A.   10,821 
 79,316     Encore Wire Corp   3,764 
 35,968  *,e  Energous Corp   533 
 53,446  *,e  Energy Recovery, Inc   432 
 93,712     EnerSys   6,995 
 33,437  *  Engility Holdings, Inc   1,025 
 84,662     Engineers India Ltd   154 
 131,172  *  Enphase Energy, Inc   883 
 31,536     EnPro Industries, Inc   2,206 
 354,000  e  Enric Energy Equipment Holdings Ltd   336 
 5,608  e  EnviroStar, Inc   226 
 633,314  *  Epiroc AB   6,646 
 261,374  *  Epiroc AB   2,393 
 221,768     Equifax, Inc   27,745 
 58,890     ESCO Technologies, Inc   3,398 
 38,373     Escorts Ltd   489 
 39,466  *  Esterline Technologies Corp   2,913 
 1,407,110  *  Evoqua Water Technologies Corp   28,846 
 44,811     Exco Technologies Ltd   303 
 73,764  *  FACC AG.   1,370 
 168,529  *  Famur S.A.   226 
 57,700     Fangda Carbon New Material Co Ltd   211 
 27,677     Fanuc Ltd   5,486 
 3,381,517     Far Eastern Textile Co Ltd   3,202 
 482,426     Fastenal Co   23,219 
 10,310,000  *,e  FDG Electric Vehicles Ltd   157 
 59,000  *,e  FDK Corp   102 
 199,849     Federal Signal Corp   4,654 
 1,046     Feintool International Holding AG.   112 
 345,999     Ferguson plc   27,994 
 368,615     Ferrovial S.A.   7,543 
 11,963  *,e  FIGEAC-AERO   216 
 271,114     Fincantieri S.p.A   368 
 209,607     Finmeccanica S.p.A.   2,063 
 115,881     Finning International, Inc   2,860 
 115,852     Finolex Cables Ltd   983 
 264,000  e  First Tractor Co   87 
24

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 76,893     Flowserve Corp  $3,106 
 24,108     FLSmidth & Co AS   1,438 
 27,291  e  Fluidra S.A.   436 
 272,291     Fluor Corp   13,282 
 76,451  *  Fomento de Construcciones y Contratas S.A.   961 
 1,625     Force Motors Ltd   60 
 1,188,667     Fortive Corp   91,658 
 348,819     Fortune Brands Home & Security, Inc   18,728 
 2,655,624  e  Fosun International   4,974 
 115,338  *  Foundation Building Materials, Inc   1,774 
 69,698     Franklin Electric Co, Inc   3,143 
 30,622     Freightcar America, Inc   514 
 224,800     Fudo Tetra Corp   420 
 124,998  *,e  FuelCell Energy, Inc   165 
 236,538     Fuji Electric Holdings Co Ltd   1,797 
 277,592     Fuji Machine Manufacturing Co Ltd   4,969 
 679,978     Fujikura Ltd   4,319 
 35,300     Fujitec Co Ltd   434 
 14,600     Fukuda Corp   879 
 6,900     Fukushima Industries Corp   316 
 25,200     Furukawa Co Ltd   373 
 145,300     Furukawa Electric Co Ltd   5,069 
 135,719  *  Futaba Corp/Chiba   2,374 
 64,938     Galliford Try plc   746 
 2,055,703     Gamuda BHD   1,662 
 191,485  *  Gardner Denver Holdings, Inc   5,628 
 78,463  *  Gates Industrial Corp plc   1,277 
 57,150  e  GATX Corp   4,242 
 54,838     Gayatri Projects Ltd   130 
 18,385     GEA Group AG.   619 
 6,274     Geberit AG.   2,686 
 6,900     Gecoss Corp   66 
 55,472  *  GEK Group of Cos S.A.   332 
 11,755  *  Gencor Industries, Inc   190 
 236,151  *  Generac Holdings, Inc   12,216 
 542,639     General Dynamics Corp   101,153 
 15,067,664  n  General Electric Co   205,071 
 14,962  *,e  General Finance Corp   203 
 14,277     Georg Fischer AG.   18,232 
 202,000     George Kent Malaysia BHD   60 
 47,735  *  Gibraltar Industries, Inc   1,790 
 7,600  e  Giken Seisakusho Co, Inc   176 
 21,467  g  Gima TT S.p.A   353 
 303,449     Global Brass & Copper Holdings, Inc   9,513 
 30,056     Glory Ltd   840 
 1,278,756  *  GMR Infrastructure Ltd   286 
 462,895  *  GMS, Inc   12,540 
 74,079     Godrej Industries Ltd   674 
 128,510     Gorman-Rupp Co   4,498 
 312,176     Graco, Inc   14,117 
 318,622  e  GrafTech International Ltd   5,732 
 357,901  e  Grafton Group plc   3,750 
 16,519     Graham Corp   426 
25

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 215,066     Granite Construction, Inc  $11,971 
 34,325  *  Graphite India Ltd   421 
 88,680  *  Great Lakes Dredge & Dock Corp   466 
 37,730     Greaves Cotton Ltd   80 
 47,778     Greenbrier Cos, Inc   2,520 
 139,468     Griffon Corp   2,483 
 461,584     Grupo Carso S.A. de C.V. (Series A1)   1,558 
 113,600  e  Grupo Rotoplas SAB de C.V.   148 
 87,998     GS Engineering & Construction Corp   3,637 
 194,000     GS Yuasa Corp   883 
 1,382,493     Gunkul Engineering PCL   113 
 620,990     GWA International Ltd   1,560 
 48,085     H&E Equipment Services, Inc   1,808 
 738,813     Haitian International Holdings Ltd   1,741 
 22,116     Haldex AB   220 
 171,996     Hangzhou Steam Turbine Co   152 
 39,160  *  Hanjin Heavy Industries & Construction Co Ltd   105 
 20,900     Han’s Laser Technology Industry Group Co Ltd   167 
 330,179     Hanwa Co Ltd   12,570 
 111,457     Hanwha Corp   3,153 
 34,375     Hanwha Corp (3P)   472 
 710,100     HAP Seng Consolidated BHD   1,723 
 406,000  e  Harbin Power Equipment   119 
 19,700     Harmonic Drive Systems, Inc   831 
 286,876     Harris Corp   41,465 
 825,462  *  Harsco Corp   18,243 
 267,814     Havells India Ltd   2,123 
 246,900  e  Hazama Ando Corp   2,244 
 64,772  *,e  HC2 Holdings, Inc   379 
 2,109,407  *  HD Supply Holdings, Inc   90,472 
 36,537  *  HDC Hyundai Development Co-Engineering & Construction   1,767 
 4,714  *  HEG Ltd   227 
 72,581     HEICO Corp   5,293 
 276,798     HEICO Corp (Class A)   16,871 
 137,746  *  Heidelberger Druckmaschinen   377 
 333,511  *  Hellenic Technodomiki Tev S.A.   743 
 88,723  *  Herc Holdings, Inc   4,999 
 43,815     Hexcel Corp   2,908 
 7,600     Hibiya Engineering Ltd   151 
 206,424     Hillenbrand, Inc   9,733 
 313,705  *  Hindustan Construction Co   56 
 852,184     Hino Motors Ltd   9,087 
 4,500  e  Hirata Corp   322 
 11,400     Hisaka Works Ltd   108 
 83,167     Hitachi Construction Machinery Co Ltd   2,696 
 91,000     Hitachi Zosen Corp   428 
 190,977     Hiwin Technologies Corp   2,250 
 3,000,000  *  HNA International Investment Holdings Ltd   103 
 52,266     Hochtief AG.   9,425 
 35     Hock Seng Lee BHD   0^
 4,085,956     Honeywell International, Inc   588,582 
 458,000     Hong Kong International Construction Investment Management Group Co Ltd   110 
26

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 41,100     Hong Leong Industries BHD  $116 
 1,255,300     Hopewell Holdings   4,283 
 26,809     Hoshizaki Electric Co Ltd   2,709 
 94,261     Hosken Consolidated Investments Ltd   961 
 4,200  *  Hosokawa Micron Corp   260 
 1,859,147     Howden Joinery Group plc   13,111 
 2,285,000  *,†,m  Hsin Chong Construction Group Ltd   3 
 77,200     Huangshi Dongbei Electrical Appliance Co Ltd   91 
 24,353     Hubbell, Inc   2,575 
 7,675     Huber & Suhner AG.   467 
 51,613     Hudaco Industries Ltd   570 
 57,082     Huntington Ingalls   12,375 
 9,076     Hurco Cos, Inc   406 
 4,857     Hy-Lok Corp   111 
 39,904     Hyster-Yale Materials Handling, Inc   2,564 
 3,616  *  Hyundai Construction Equipment Co Ltd   458 
 17,294     Hyundai Development Co   444 
 3,263  *  Hyundai Electric & Energy System Co Ltd   206 
 8,352  e  Hyundai Elevator Co Ltd   674 
 78,984     Hyundai Engineering & Construction Co Ltd   4,081 
 31,490  *  Hyundai Heavy Industries   2,880 
 7,898  *  Hyundai Mipo Dockyard   607 
 8,469  *  Hyundai Robotics Co Ltd   2,685 
 18,124  *  Hyundai Rotem Co Ltd   456 
 51,600  e  Idec Corp   1,206 
 89,295     IDEX Corp   12,187 
 14,304  *  IES Holdings, Inc   240 
 2,997,512     IJM Corp BHD   1,329 
 207,699     Illinois Tool Works, Inc   28,775 
 8,323     IMARKETKOREA, Inc   52 
 206,211     IMI plc   3,069 
 8,456     Implenia AG.   643 
 108,157  e  Impregilo S.p.A.   281 
 39,158     IMS-Intl Metal Service   1,246 
 48,400     Inaba Denki Sangyo Co Ltd   1,975 
 25,900     Inabata & Co Ltd   359 
 35,325     Indus Holding AG.   2,198 
 9,937     Industria Macchine Automatiche S.p.A.   862 
 170,028  *  Industries Qatar QSC   5,002 
 87,444     Indutrade AB   2,081 
 26,293  *,e  Infrastructure and Energy Alternatives, Inc   245 
 2,140,823     Ingersoll-Rand plc   192,096 
 27,738     Insteel Industries, Inc   926 
 44,589     Interpump Group S.p.A.   1,382 
 375     Interroll Holding AG.   658 
 94,218  e  Invicta Holdings Ltd   254 
 35,012     Inwido AB   250 
 79,900     Iochpe-Maxion S.A.   431 
 445,043     IRB Infrastructure Developers Ltd   1,373 
 132,610     IS Dongseo Co Ltd   3,306 
 53,500     Iseki & Co Ltd   953 
 4,081     ISGEC Heavy Engineering Ltd   307 
27

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 2,686,709     Ishikawajima-Harima Heavy Industries Co Ltd  $93,454 
 1,113,750     Italian-Thai Development PCL   90 
 15,459     Italmobiliare S.p.A   379 
 1,889,111     Itochu Corp   34,166 
 565,025     ITT, Inc   29,534 
 239,400  e  Iwatani International Corp   8,328 
 287,688     Jacobs Engineering Group, Inc   18,265 
 547,889     Jain Irrigation Systems Ltd   615 
 659,113  *  Jaiprakash Associates Ltd   154 
 5,800  e  Jamco Corp   132 
 28,160     Japan Pulp & Paper Co Ltd   1,280 
 46,200     Japan Steel Works Ltd   1,163 
 262,205     Jardine Matheson Holdings Ltd   16,522 
 269,188     Jardine Strategic Holdings Ltd   9,806 
 167,806  *  JELD-WEN Holding, Inc   4,798 
 2,805,047     JG Summit Holdings (Series B)   2,628 
 36,453     JGC Corp   733 
 47,619     John Bean Technologies Corp   4,233 
 4,938,400     John Keells Holdings plc   4,601 
 346,129  g  John Laing Group plc   1,255 
 471,333     Johnson Controls International plc   15,766 
 245,375     Johnson Electric Holdings Ltd   715 
 8,205  g  JOST Werke AG.   313 
 1,070,276     JTEKT Corp   14,527 
 28,059     Jungheinrich AG.   1,037 
 1,529     JVM Co Ltd   51 
 99,720     Kadant, Inc   9,588 
 70,730     Kajaria Ceramics Ltd   499 
 820,322     Kajima Corp   6,338 
 22,487     Kalpataru Power Transmission Ltd   132 
 150,300  *  Kama Co Ltd   90 
 42,093     Kaman Corp   2,933 
 34,000     Kamei Corp   469 
 75,500     Kanamoto Co Ltd   2,384 
 496,400     Kandenko Co Ltd   5,439 
 566,100     Kanematsu Corp   8,165 
 1,266,858     KAP Industrial Holdings Ltd   689 
 3,477     Kardex AG.   481 
 10,300     Katakura Industries Co Ltd   121 
 13,644     Kawasaki Heavy Industries Ltd   401 
 369,389     KBR, Inc   6,619 
 4,535     KC Co Ltd   77 
 6,303     KCC Corp   1,855 
 146,212     KEC International Ltd   716 
 21,259  *  KEI Industries Ltd   127 
 69,279     Keihan Electric Railway Co Ltd   2,484 
 203,068     Keller Group plc   2,709 
 8,008     Kendrion NV   327 
 247,545     Kennametal, Inc   8,887 
 7,546     KEPCO Engineering & Construction Co, Inc   180 
 912,670     Keppel Corp Ltd   4,774 
 253,800     Kerjaya Prospek Group BHD   94 
 72,846  *,e  KEYW Holding Corp, The   637 
 57,151     Kier Group plc   724 
28

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 211,800     Kinden Corp  $3,454 
 37,000     King Slide Works Co Ltd   522 
 293,143     Kingspan Group plc   14,679 
 55,000     Kinik Co   127 
 50,775     KION Group AG.   3,645 
 252,800     Kitz Corp   2,070 
 527,550     Kloeckner & Co AG.   5,556 
 111,471  *  KLX, Inc   8,015 
 19,601  *  KNR Constructions Ltd   62 
 648,630     KOC Holding AS   2,004 
 23,001     Koenig & Bauer AG.   1,660 
 3,468     Kolon Corp   131 
 486,288     Komatsu Ltd   13,844 
 2,002  e  Komax Holding AG.   527 
 27,690     Komori Corp   322 
 54,471     Kone Oyj (Class B)   2,770 
 39,316     Konecranes Oyj   1,613 
 133,025  e  Koninklijke BAM Groep NV   558 
 116,400     Koninklijke Volkerwessels NV   2,993 
 69,164  *  Korea Aerospace Industries Ltd   2,550 
 2,851     Korea Electric Terminal Co Ltd   112 
 18,308  *,e  Kornit Digital Ltd   326 
 133,657  *,e  Kratos Defense & Security Solutions, Inc   1,538 
 10,138     Krones AG.   1,307 
 59,000     KS Terminals, Inc   100 
 196,667     Kubota Corp   3,087 
 46,800     Kumagai Gumi Co Ltd   1,641 
 307,323     Kumho Industrial Co Ltd   2,882 
 33,000     Kung Long Batteries Industrial Co Ltd   157 
 56,088     Kurita Water Industries Ltd   1,598 
 56,600     Kyokuto Kaihatsu Kogyo Co Ltd   864 
 250,900     Kyowa Exeo Corp   6,566 
 35,800     Kyudenko Corp   1,725 
 3,151     Kyung Dong Navien Co Ltd   169 
 358,028     L3 Technologies, Inc   68,856 
 1,442     Lakshmi Machine Works Ltd   164 
 480,717     Larsen & Toubro Ltd   8,950 
 10,123  *  Lawson Products, Inc   247 
 13,867  *  LB Foster Co (Class A)   318 
 40,633     Legrand S.A.   2,976 
 74,467  e  Lehto Group Oyj   862 
 66,125     Lennox International, Inc   13,235 
 366,952     LG Corp   23,723 
 24,547     LG Hausys Ltd   1,529 
 19,451     LG International Corp   421 
 6,195     LIG Nex1 Co Ltd   222 
 19,115     Lincoln Electric Holdings, Inc   1,678 
 48,556     Lindab International AB   356 
 16,209     Lindsay Corp   1,572 
 11,042  e  LISI   417 
 128,636     LIXIL Group Corp   2,571 
 503,953     Lockheed Martin Corp   148,883 
 6,385,000     Lonking Holdings Ltd   2,924 
29

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 23,687  *  Lotte Corp  $1,216 
 111,543     LS Cable Ltd   7,510 
 9,110     LS Industrial Systems Co Ltd   577 
 152,000  *,e  Luoyang Glass Co Ltd   57 
 30,500     Luxshare Precision Industry Co Ltd   103 
 135,184  *  Lydall, Inc   5,901 
 4,548     Mabuchi Motor Co Ltd   216 
 1,541,823     Maeda Corp   17,671 
 12,200     Maeda Kosen Co Ltd   209 
 33,500     Maeda Road Construction Co Ltd   636 
 30,399     Magellan Aerospace Corp   371 
 1,158,634  e  Maire Tecnimont S.p.A   5,185 
 960,748     Makino Milling Machine Co Ltd   7,453 
 22,061     Makita Corp   987 
 1,050,100     Malaysian Resources Corp BHD   156 
 21,537     MAN AG.   2,437 
 22,292  *  Manitex International, Inc   278 
 15,735     Manitou BF S.A.   591 
 618,343  *  Manitowoc Co, Inc   15,990 
 330,200     Marcopolo S.A.   285 
 1,839,274     Marubeni Corp   14,003 
 883,079     Masco Corp   33,045 
 127,689  *  Masonite International Corp   9,174 
 99,583  *  Mastec, Inc   5,054 
 16,800     Max Co Ltd   212 
 86,155  e  Maxar Technologies Ltd   4,353 
 33,076     Maxar Technologies Ltd   1,661 
 1,326     MBB SE   142 
 443,700     Megawide Construction Corp   167 
 737,201     Meggitt plc   4,784 
 463,000     Meidensha Corp   1,668 
 3,581,359     Melrose Industries plc   10,021 
 71,500  *  Mercury Systems, Inc   2,721 
 126,126  *  Meritor, Inc   2,594 
 3,090,000  *  Metallurgical Corp of China Ltd   910 
 56,300  *  Metallurgical Corp of China Ltd   28 
 6,400     METAWATER Co Ltd   186 
 117,778     Metso Oyj   3,929 
 213,009     Micron Machinery Co Ltd   2,574 
 106,407  *,e  Middleby Corp   11,111 
 670,067  *  Milacron Holdings Corp   12,684 
 36,680     Millat Tractors Ltd   359 
 16,684     Miller Industries, Inc   426 
 588,100     Minebea Co Ltd   9,911 
 1,422,100  e  Miraito Holdings Corp   21,992 
 256,164     MISUMI Group, Inc   7,453 
 1,617,667     Mitsubishi Corp   44,856 
 644,057     Mitsubishi Electric Corp   8,545 
 64,452     Mitsubishi Heavy Industries Ltd   2,343 
 17,000     Mitsubishi Nichiyu Forklift Co Ltd   194 
 29,700     Mitsuboshi Belting Co Ltd   373 
 2,552,095     Mitsui & Co Ltd   42,498 
 42,100     Mitsui Engineering & Shipbuilding Co Ltd   551 
 62,000     Miura Co Ltd   1,504 
30

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 3,138,230     MMC Corp BHD  $1,038 
 125,379     Monadelphous Group Ltd   1,395 
 36,700  e  MonotaRO Co Ltd   1,621 
 127,136     Moog, Inc (Class A)   9,912 
 714,341     Morgan Crucible Co plc   3,079 
 112,548     Morgan Sindall plc   2,136 
 228,900  e  Mori Seiki Co Ltd   3,165 
 17,600     Morita Holdings Corp   355 
 672,663     Mota Engil SGPS S.A.   2,245 
 512,484  *  MRC Global, Inc   11,106 
 109,069     MSC Industrial Direct Co (Class A)   9,255 
 40,251     MTU Aero Engines Holding AG.   7,710 
 85,388     Mueller Industries, Inc   2,520 
 437,381     Mueller Water Products, Inc (Class A)   5,126 
 187,900     Muhibbah Engineering M BHD   139 
 39,709  e,g  Munters Group AB   200 
 992,398     Murray & Roberts Holdings Ltd   1,267 
 91,988  *  MYR Group, Inc   3,262 
 10,623     Nabtesco Corp   326 
 9,133  e  Nachi-Fujikoshi Corp   407 
 250,663     Nagarjuna Construction Co   352 
 285,200     Nagase & Co Ltd   4,451 
 31,500     Namura Shipbuilding Co Ltd   133 
 10,627  *  Nanomedics Co Ltd   116 
 147,512     National Central Cooling Co PJSC   67 
 7,296  e  National Presto Industries, Inc   905 
 166,748  *  Navistar International Corp   6,790 
 251,501  *  NBCC India Ltd   275 
 52,837     NCC AB (B Shares)   876 
 180,623  *  NCI Building Systems, Inc   3,793 
 14,960,000  *,e  New Provenance Everlasting Holdings Ltd   105 
 15,297  e  Nexans S.A.   526 
 134,549  *  Nexeo Solutions, Inc   1,228 
 161,509  e  NFI Group, Inc   6,025 
 24,551     NGK Insulators Ltd   436 
 182,624  e  Nibe Industrier AB   1,953 
 320,424     Nichias Corp   4,007 
 21,200     Nichiden Corp   408 
 18,200     Nichiha Corp   687 
 50,125     Nidec Corp   7,498 
 3,200     Nihon Trim Co Ltd   138 
 16,055  *  Nilfisk Holding A.S.   782 
 111,500     Nippo Corp   2,029 
 78,200  *,e  Nippon Carbon Co Ltd   4,370 
 92,400     Nippon Densetsu Kogyo Co Ltd   2,032 
 6,600     Nippon Koei Co Ltd   163 
 4,100     Nippon Road Co Ltd   211 
 270,730  *,e  Nippon Sharyo Ltd   683 
 50,600  *  Nippon Sheet Glass Co Ltd   485 
 36,145     Nippon Steel Trading Co Ltd   1,792 
 32,900     Nippon Thompson Co Ltd   258 
 131,000     Nishimatsu Construction Co Ltd   3,754 
 24,700     Nishio Rent All Co Ltd   791 
31

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 4,600  *,e  Nissei ASB Machine Co Ltd  $239 
 292,852     Nisshinbo Industries, Inc   3,139 
 96,000     Nissin Electric Co Ltd   883 
 12,000     Nitta Corp   470 
 17,200     Nitto Boseki Co Ltd   411 
 15,200     Nitto Kogyo Corp   304 
 4,673     Nitto Kohki Co Ltd   109 
 8,200  e  Nittoku Engineering Co Ltd   214 
 41,735  *,e  NKT Holding AS   1,137 
 63,029     NN, Inc   1,191 
 4,800  *,e  Noble Group Ltd   0^
 55,993     Nolato AB (B Shares)   4,506 
 37,047  *  Nordex AG.   375 
 101,073     Nordson Corp   12,979 
 67,991     Noritake Co Ltd   3,762 
 16,800     Noritz Corp   273 
 93,827     NORMA Group   6,411 
 954,014     Northrop Grumman Corp   293,550 
 14,403  *  Northwest Pipe Co   279 
 164,125  *,e  NOW, Inc   2,188 
 222,317     NSK Ltd   2,288 
 394,000     NTN Corp   1,613 
 12,346  *  NV5 Holdings, Inc   856 
 154,435  *  nVent Electric plc   3,876 
 2,839,905     NWS Holdings Ltd   4,901 
 6,300     Obara Corp   359 
 414,392     Obayashi Corp   4,303 
 81,808  e  Obrascon Huarte Lain S.A.   261 
 423,596     OC Oerlikon Corp AG.   6,453 
 4,110     OHB AG.   134 
 122,200     Oiles Corp   2,322 
 24,700  e  Okabe Co Ltd   215 
 19,628     Okuma Holdings, Inc   1,035 
 16,200     Okumura Corp   527 
 4,258     Omega Flex, Inc   337 
 968,733  *  Opus Global Rt   2,377 
 253     Orascom Construction Ltd   2 
 2,800     Organo Corp   80 
 219,788  *  Orion Marine Group, Inc   1,815 
 51,200     OSG Corp   1,053 
 137,161     Oshkosh Truck Corp   9,645 
 78,500     OSJB Holdings Corp   198 
 10,193     Osram Licht AG.   415 
 5,555     Otokar Otobus Karoseri Sanayi AS   91 
 86,277  *  Outotec Oyj   684 
 1,586,172     Owens Corning, Inc   100,516 
 149,900     PACCAR, Inc   9,288 
 300,000     Pantaloon Retail India Ltd   163 
 895,921     Parker-Hannifin Corp   139,629 
 36,864  *  Patrick Industries, Inc   2,096 
 652,893     Peab AB (Series B)   4,909 
 87,546     Pentair plc   3,684 
 963,000     Penta-Ocean Construction Co Ltd   6,438 
 38,439     PER Aarsleff A.S.   1,357 
32

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 243,000     PESTECH International BHD  $93 
 9,041     Pfeiffer Vacuum Technology AG.   1,487 
 529,303  *  PGT, Inc   11,036 
 639,639  e,g  Philips Lighting NV   16,548 
 8,293     Pinguely-Haulotte   142 
 342,418  *,e  Plug Power, Inc   692 
 38,019     PNC Infratech Ltd   80 
 117,075     Polypipe Group plc   593 
 4,195,600     Polyplex PCL (Foreign)   1,760 
 24,272     Ponsse Oyj   852 
 9,091  e  Porr AG.   306 
 14,043     Powell Industries, Inc   489 
 167,100     Power Construction Corp of China Ltd   135 
 5,000     Preformed Line Products Co   444 
 3,646  e  Prima Industrie S.p.A   155 
 264,497     Primoris Services Corp   7,202 
 41,200  *,e  Proto Labs, Inc   4,901 
 31,510     Prysmian S.p.A.   782 
 1,064,732     PT Adhi Karya Persero Tbk   133 
 1,724,300     PT AKR Corporindo Tbk   517 
 5,000,000     PT Arwana Citramulia Tbk   118 
 1,217,100     PT Asahimas Flat Glass Tbk   421 
 2,803,600  *,†,m  PT Inovisi Infracom Tbk   23 
 10,420,688     PT Pembangunan Perumahan Tbk   1,445 
 2,721,300  *  PT Sitara Propertindo Tbk   152 
 14,467,600     PT Waskita Karya Persero Tbk   1,938 
 1,876,023     PT Wijaya Karya   173 
 37,161     Qatar Industrial Manufacturing Co   417 
 1,935,120     QinetiQ plc   6,868 
 32,000     QST International Corp   109 
 90,924     Quanex Building Products Corp   1,632 
 534,292  *  Quanta Services, Inc   17,845 
 134,000     Raito Kogyo Co Ltd   1,399 
 244,030     Ramirent Oyj   2,584 
 126,213     Randon Participacoes S.A.   201 
 1,991     Rational AG.   1,297 
 96,165     Raubex Group Ltd   136 
 54,528     Raven Industries, Inc   2,097 
 815,507     Raytheon Co   157,540 
 48,988  *  RBC Bearings, Inc   6,310 
 392,734     RCR Tomlinson Ltd   866 
 169,797     Rechi Precision Co Ltd   180 
 107,607     Regal-Beloit Corp   8,802 
 2,553,420  e  Reliance Worldwide Corp Ltd   10,109 
 617,527     Reunert Ltd   3,622 
 46,143  e  REV Group, Inc   785 
 60,514     Rexel S.A.   869 
 159,008  *  Rexnord Corp   4,621 
 106,447     Rheinmetall AG.   11,712 
 12,200  *  Rheon Automatic Machinery Co Ltd   212 
 1,694     Rieter Holding AG.   292 
 432,008     Rockwell Automation, Inc   71,813 
 123,352     Rockwell Collins, Inc   16,613 
33

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 16,515     Rockwool International AS (B Shares)  $6,438 
 1,440,813     Rolls-Royce Group plc   18,767 
 91,256,584  *,m  Rolls-Royce Holdings plc   120 
 559,258     Roper Industries, Inc   154,305 
 591,883     Rotork plc   2,607 
 85,000     Run Long Construction Co Ltd   151 
 11,749  *  Rush Enterprises, Inc   516 
 255,464  *  Rush Enterprises, Inc (Class A)   11,082 
 276,807     Russel Metals, Inc   5,658 
 112,500     Ryobi Ltd   3,698 
 37,652  e  Saab AB (Class B)   1,559 
 232,313  e  Sacyr Vallehermoso S.A.   633 
 95,596     Sadbhav Engineering Ltd   400 
 393,136     Safran S.A.   47,611 
 474,114     Salfacorp S.A.   742 
 197,989  *  Samsung Engineering Co Ltd   2,778 
 332,232  *  Samsung Heavy Industries Co Ltd   2,127 
 22,498  *  Samsung Techwin Co Ltd   472 
 54,623     San Shing Fastech Corp   100 
 1,472,880     Sandvik AB   26,013 
 27,900     Sanki Engineering Co Ltd   273 
 15,400  *  Sankyo Tateyama, Inc   192 
 291,700     Sanwa Shutter Corp   3,083 
 513,000     Sany Heavy Equipment International   188 
 131,900  *  Sany Heavy Industry Co Ltd   178 
 5,500     Sanyo Denki Co Ltd   390 
 14,645  e  Savaria Corp   179 
 30,299     Schindler Holding AG.   6,505 
 6,757     Schindler Holding AG. (Registered)   1,419 
 33,577  *  Schneider Electric Infrastructure Ltd   43 
 1,685,014     Schneider Electric S.A.   140,137 
 1,417     Schweiter Technologies AG.   1,475 
 137,229     Seibu Holdings, Inc   2,311 
 117,000     Sekisui Jushi Corp   2,451 
 805,783  e  SembCorp Industries Ltd   1,623 
 494,200     SembCorp Marine Ltd   736 
 5,103  e  Semperit AG. Holding   95 
 366,516     Senior plc   1,465 
 319,094  *  Sensata Technologies Holding plc   15,182 
 25,128  *,e  Senvion S.A.   269 
 64,886     Seven Network Ltd   913 
 11,385     SFS Group AG.   1,201 
 119,208  *  SGL Carbon AG.   1,276 
 150,108  *  SGSB Group Co Ltd   100 
 217,280     Shanghai Diesel Engine Co Ltd   133 
 2,825,025  *  Shanghai Electric Group Co Ltd   950 
 1,178,180     Shanghai Highly Group Co Ltd   975 
 2,621,508     Shanghai Industrial Holdings Ltd   6,091 
 97,800  *  Shanghai Tunnel Engineering Co Ltd   87 
 76,044     Shapir Engineering and Industry Ltd   222 
 6,800     Shibuya Kogyo Co Ltd   208 
 259,693     Shikun & Binui Ltd   460 
 15,000     Shima Seiki Manufacturing Ltd   715 
 213,618     Shimizu Corp   2,211 
34

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 85,000     Shin Zu Shing Co Ltd  $250 
 81,000     Shinko Electric Co Ltd   287 
 57,800     Shinmaywa Industries Ltd   678 
 185,500     Shinnihon Corp   2,138 
 10,800  e  SHO-BOND Holdings Co Ltd   750 
 1,461,082     Siemens AG.   192,506 
 2,545,365  e  Siemens Gamesa Renewable Energy   34,024 
 128,399     Siemens India Ltd   1,839 
 7,997  e  SIF Holding NV   156 
 307,696     SIG plc   565 
 2,746,560     Sime Darby BHD   1,664 
 83,826     Simpson Manufacturing Co, Inc   5,213 
 6,990,000     Singamas Container Holdings Ltd   978 
 1,408,156     Singapore Technologies Engineering Ltd   3,394 
 12,800     Sinko Industries Ltd   228 
 430,957     Sino Thai Engineering & Construction PCL   235 
 1,252,500     Sinopec Engineering Group Co Ltd   1,306 
 868,500  *,e  Sinotruk Hong Kong Ltd   1,424 
 380,896  *  Sintex Plastics Technology Ltd   236 
 86,200     Sintokogio Ltd   763 
 60,746  *  SiteOne Landscape Supply, Inc   5,101 
 70,653     SK C&C Co Ltd   16,405 
 99,080     SK Networks Co Ltd   400 
 52,682     Skanska AB (B Shares)   954 
 276,483     SKF AB (B Shares)   5,118 
 7,274,800     SKP Resources BHD   2,519 
 7,578  *,e  SLM Solutions Group AG.   289 
 200,660     SM Investments Corp   3,292 
 22,217     SMC Corp   8,133 
 76,407     Smiths Group plc   1,707 
 136,360     Snap-On, Inc   21,916 
 93,798  e  SNC-Lavalin Group, Inc   4,142 
 77,300     Sodick Co Ltd   703 
 5,096,000     Sojitz Holdings Corp   18,456 
 4,847     Solar Holdings AS (B Shares)   302 
 9,133     Somany Ceramics Ltd   66 
 81,561  *  Sparton Corp   1,549 
 89,010     Spirax-Sarco Engineering plc   7,633 
 42,168     Spirit Aerosystems Holdings, Inc (Class A)   3,623 
 280,964  *  SPX Corp   9,848 
 377,063  *  SPX FLOW, Inc   16,504 
 14,479     Stabilus S.A.   1,301 
 26,840     Standex International Corp   2,743 
 433,120     Stanley Works   57,523 
 28,100  e  Star Micronics Co Ltd   434 
 39,738  *  Ste Industrielle d’Aviation Latecoere S.A.   212 
 249,415  *  Sterling Construction Co, Inc   3,250 
 8,140     Sulzer AG.   986 
 1,280,847     Sumitomo Corp   21,006 
 13,600     Sumitomo Densetsu Co Ltd   243 
 935,397     Sumitomo Heavy Industries Ltd   31,516 
 816,740     Sumitomo Mitsui Construction C   5,677 
 43,438     Sun Hydraulics Corp   2,093 
35

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 112,000     Sunonwealth Electric Machine Industry Co Ltd  $159 
 143,970  *,e  Sunrun, Inc   1,893 
 1,647,722     Sunway Construction Group BHD   737 
 2,444,500  *,†,e,m  Superb Summit International Group Ltd   31 
 56,000     Suzhou Gold Mantis Construction Decoration Co Ltd   85 
 1,629,151  *  Suzlon Energy Ltd   178 
 51,590     Sweco AB (B Shares)   1,215 
 1,075,000     Syncmold Enterprise Corp   2,202 
 56,900     Tadano Ltd   698 
 4,473  *  Taewoong Co Ltd   65 
 160,011     Taeyoung Engineering & Construction   1,989 
 2,755,000  e  Tai United Holdings Ltd   266 
 9,100     Taihei Dengyo Kaisha Ltd   230 
 13,100     Taikisha Ltd   397 
 554,279     Taisei Corp   30,524 
 639,670  *  Taiwan Glass Industrial Corp   360 
 214,193     Takamatsu Corp   6,422 
 21,964     Takara Standard Co Ltd   366 
 131,000     Takasago Thermal Engineering Co Ltd   2,429 
 22,800     Takeuchi Manufacturing Co Ltd   479 
 39,000     Takuma Co Ltd   474 
 53,834  g  Talgo S.A.   322 
 18,675  e  Tarkett S.A.   537 
 27,300     Tatsuta Electric Wire and Cable Co Ltd   138 
 87,200  *  TBEA Co Ltd   91 
 14,704  *  Techno Electric & Engineering Co Ltd   57 
 1,996,679     Teco Electric and Machinery Co Ltd   1,498 
 10,500  e  Teikoku Sen-I Co Ltd   219 
 401,103     Tekfen Holding AS   1,513 
 58,200     Tekken Corp   1,602 
 70,832  *  Teledyne Technologies, Inc   14,100 
 27,073     Tennant Co   2,139 
 2,279,038     Terex Corp   96,153 
 42,051  *  Textainer Group Holdings Ltd   669 
 3,058,792     Textron, Inc   201,605 
 101,240     Thales S.A.   13,025 
 36,180     Thermax Ltd   550 
 216,514  *  Thermon Group Holdings   4,952 
 202,192     THK Co Ltd   5,773 
 611,335     Thoresen Thai Agencies PCL   117 
 39,800     Timken Co   1,733 
 9,862     Timken India Ltd   104 
 268,308     Titan International, Inc   2,879 
 136,427  *  Titan Machinery, Inc   2,121 
 1,190,000     TK Group Holdings Ltd   1,013 
 87,803     TKH Group NV   5,559 
 8,400     Toa Corp/Tokyo   216 
 35,700     Tocalo Co Ltd   372 
 331,000     Toda Corp   2,874 
 14,700     Toenec Corp   441 
 235,000     Tokai Corp   2,269 
 758,060     Tokyu Construction Co Ltd   7,354 
 162,269     Toro Co   9,777 
36

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 117,479     Toromont Industries Ltd  $5,081 
 1,867,443  *  Toshiba Corp   5,606 
 51,964     Toshiba Machine Co Ltd   247 
 28,500     Toshiba Plant Systems & Services Corp   651 
 52,500     Totetsu Kogyo Co Ltd   1,671 
 23,396     Toto Ltd   1,083 
 963,800     Toyo Construction Co Ltd   4,273 
 21,799  e  Toyo Engineering Corp   149 
 76,100     Toyo Tanso Co Ltd   2,224 
 286,436     Toyota Tsusho Corp   9,572 
 126,094  *  TPI Composites, Inc   3,687 
 3,358,419     Trakya Cam Sanayi AS   3,038 
 102,027     TransDigm Group, Inc   35,214 
 1,920,416     Travis Perkins plc   35,986 
 326,731     Trelleborg AB (B Shares)   6,948 
 110,805     Trencor Ltd   274 
 144,293  *  Trex Co, Inc   9,031 
 91,619  *  Trimas Corp   2,694 
 86,224     Trinity Industries, Inc   2,954 
 195,475     Triton International Ltd   5,993 
 716,852     Triumph Group, Inc   14,050 
 8,456     Troax Group AB   272 
 23,200     Trusco Nakayama Corp   579 
 22,300     Tsubaki Nakashima Co Ltd   525 
 391,000     Tsubakimoto Chain Co   3,101 
 30,000     Tsugami Corp   265 
 14,700     Tsukishima Kikai Co Ltd   209 
 10,000     Tsurumi Manufacturing Co Ltd   168 
 6,441,299     Turk Sise ve Cam Fabrikalari AS   5,930 
 9,945     Turk Traktor ve Ziraat Makineleri AS   113 
 55,625  *  Tutor Perini Corp   1,026 
 26,136  *  Twin Disc, Inc   649 
 427,500     UEM Edgenta BHD   200 
 45,583     Ultra Electronics Holdings   993 
 5,000  e  Union Tool Co   156 
 154,500  e  United Engineers Ltd   318 
 919,000     United Integrated Services Co Ltd   2,000 
 330,811  *  United Rentals, Inc   48,834 
 466,025     United Technologies Corp   58,267 
 472,814  *  Univar, Inc   12,407 
 394,139     Universal Forest Products, Inc   14,433 
 30,878     Uponor Oyj   494 
 56,108  *  USG Corp   2,419 
 402,200     Ushio, Inc   5,108 
 289,410     Valmet Corp   5,563 
 44,178     Valmont Industries, Inc   6,660 
 315,500     Vanachai Group PCL   72 
 9,009  *  Varta AG.   244 
 40,891  g  VAT Group AG.   5,445 
 131,878  *  Vectrus, Inc   4,064 
 17,551  *  Veritiv Corp   699 
 54,697     Vestas Wind Systems AS   3,377 
 127,085     Vesuvius plc   999 
37

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 57,042     V-Guard Industries Ltd  $163 
 26,157  *  Vicor Corp   1,139 
 1,069,802     Vinci S.A.   102,691 
 58,470     Voltas Ltd   447 
 36,995     Voltronic Power Technology Corp   632 
 1,230,476     Volvo AB (B Shares)   19,556 
 5,236     Vossloh AG.   255 
 559,774     W.W. Grainger, Inc   172,634 
 87,103     Wabash National Corp   1,625 
 274,814  *  WABCO Holdings, Inc   32,159 
 112,142     Wabtec Corp   11,055 
 15,292     Wacker Construction Equipment AG.   387 
 34,678     Wajax Income Fund   657 
 22,100     Wakita & Co Ltd   232 
 17,488,000     Walsin Lihwa Corp   11,854 
 231,074     Wartsila Oyj (B Shares)   4,524 
 21,023     Washtec AG.   1,853 
 58,978     Watsco, Inc   10,515 
 163,531     Watts Water Technologies, Inc (Class A)   12,821 
 541,361     WCT Berhad   108 
 811,433     Weg S.A.   3,402 
 1,761,284     Weichai Power Co Ltd   2,420 
 155,700     Weichai Power Co Ltd (Class A)   205 
 603,662     Weir Group plc   15,854 
 1,274,576  *  Welbilt, Inc   28,436 
 83,103  *  Wesco Aircraft Holdings, Inc   935 
 657,325  *  WESCO International, Inc   37,533 
 5,471  *  Willis Lease Finance Corp   173 
 50,324  *,e  Willscot Corp   745 
 36,208     Wilson Bayly Holmes-Ovcon Ltd   395 
 81,285     Woodward Governor Co   6,248 
 178,091  e  WSP Global, Inc   9,377 
 196,700     XCMG Construction Machinery Co Ltd   126 
 64,100  *  Xiamen C & D, Inc   87 
 58,100  *  Xinjiang Goldwind Science & Technology Co Ltd   110 
 814,800  e  Xinjiang Goldwind Science & Technology Co Ltd   988 
 76,112     Xxentria Technology Materials Corp   197 
 73,080     Xylem, Inc   4,924 
 10,071     Y G-1 Co Ltd   126 
 77,700  e  Yahagi Construction Co Ltd   620 
 87,500     YAMABIKO Corp   1,048 
 18,600  *  Yamashin-Filter Corp   181 
 42,600     Yamazen Corp   407 
 12,111,118     Yangzijiang Shipbuilding   8,016 
 73,015     Yazicilar Holding AS   338 
 92,396  e  YIT Oyj   549 
 69,000     Yokogawa Bridge Holdings Corp   1,634 
 61,300     Yuasa Trading Co Ltd   1,952 
 198,000     Yungtay Engineering Co Ltd   314 
 304,600     Yurtec Corp   2,494 
 12,100     Yushin Precision Equipment Co Ltd   140 
 27,047  *  Yuyang DNU Co Ltd   219 
 122,536     Zardoya Otis S.A.   1,168 
 5,880     Zehnder Group AG.   243 
38

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 46,400     Zhejiang Chint Electrics Co Ltd  $156 
 145,400     Zhengzhou Coal Mining Machinery Group Co Ltd   74 
 41,800  *  Zhengzhou Yutong Bus Co Ltd   121 
 478,841     Zhuzhou CSR Times Electric Co Ltd   2,271 
 192,900  *  Zoomlion Heavy Industry Science and Technology Co Ltd   119 
 17,794  e  Zumtobel AG.   136 
       TOTAL CAPITAL GOODS   9,297,261 
               
COMMERCIAL & PROFESSIONAL SERVICES - 1.0%        
 44,600  *,e  51job, Inc (ADR)   4,355 
 265,558     ABM Industries, Inc   7,749 
 246,330  *  Acacia Research (Acacia Technologies)   1,022 
 264,502     ACCO Brands Corp   3,663 
 168,586  e  Adecco S.A.   9,949 
 185,603  e  ADT, Inc   1,605 
 500,080  *  Advanced Disposal Services, Inc   12,392 
 12,000     Aeon Delight Co Ltd   408 
 104,840     AF AB   2,394 
 151,720  e  Aggreko plc   1,350 
 6,009  e  Akka Technologies S.A.   429 
 368,727     ALS Ltd   2,056 
 10,100  *  Altech Corp   220 
 9,041     Amadeus Fire AG   977 
 48,427     American Banknote S.A.   208 
 75,500     Applus Services S.A.   1,006 
 7,543     Assystem   240 
 425,475     Babcock International Group   4,571 
 10,277     Barrett Business Services, Inc   992 
 9,300  *  BayCurrent Consulting, Inc   310 
 23,500     Bell System24 Holdings, Inc   409 
 20,900     Benefit One, Inc   589 
 3,102     Bertrandt AG.   294 
 11,747     BG Staffing, Inc   273 
 127,883  g  Biffa plc   420 
 696,176  e  Bilfinger Berger AG.   35,291 
 170,117     Bingo Industries Ltd   337 
 2,290,645     Blue Label Telecoms Ltd   1,735 
 254,780     Brady Corp (Class A)   9,822 
 1,071,448     Brambles Ltd   7,034 
 426,011  g  Bravida Holding AB   3,377 
 113,524     Brink’s Co   9,054 
 12,050     Brunel International NV   204 
 220,350     Bureau Veritas S.A.   5,874 
 988,806     Capita Group plc   2,078 
 3,782,000  *  Capital Environment Holdings Ltd   108 
 202,538  *  Casella Waste Systems, Inc (Class A)   5,187 
 53,351  *,e  Caverion Corp   379 
 362,302  *  CBIZ, Inc   8,333 
 99,042     Ceco Environmental Corp   608 
 5,200  *,e  Central Security Patrols Co Ltd   243 
 13,646     Cewe Color Holding AG.   1,260 
 2,162,951     China Everbright International Ltd   2,786 
39

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,084,000  e  China Greenland Broad Greenstate Group Co Ltd  $152 
 150,400  *,e,g  China Literature Ltd   1,408 
 244,602  *  Cimpress NV   35,458 
 196,332     Cintas Corp   36,335 
 96,125  *  Clean Harbors, Inc   5,340 
 226,635  *,e  Clean TeQ Holdings Ltd   135 
 71,000     Cleanaway Co Ltd   445 
 2,407,150     Cleanaway Waste Management Ltd   3,009 
 2,675     Compx International, Inc   35 
 446,522  *  Copart, Inc   25,255 
 78,438  *  CoStar Group, Inc   32,366 
 655,332  *  Country Garden Services Holdings Co Ltd   840 
 176,251     Covanta Holding Corp   2,908 
 42,153     CRA International, Inc   2,145 
 54,005     Dai Nippon Printing Co Ltd   1,207 
 21,400     Daiseki Co Ltd   627 
 154,287     De La Rue plc   1,132 
 71,591     Deluxe Corp   4,740 
 273,360     Derichebourg   1,724 
 569,714     Downer EDI Ltd   2,852 
 93,473     Dun & Bradstreet Corp   11,464 
 24,298     Duskin Co Ltd   606 
 360,271  *,†,m  Dyax Corp   400 
 231,000  e  Dynagreen Environmental Protection Group Co Ltd   112 
 958,500     Edenred   30,276 
 10,013  e  Elanders AB   75 
 115,806     Elis S.A.   2,648 
 17,400     en-japan, Inc   876 
 36,878     Ennis, Inc   750 
 57,458     Essendant, Inc   760 
 1,936,498     Experian Group Ltd   47,771 
 78,600     Exponent, Inc   3,796 
 10,103  e  Fila S.p.A   207 
 14,870     Forrester Research, Inc   624 
 15,599  *  Franklin Covey Co   383 
 56,400  *  FTI Consulting, Inc   3,411 
 13,700     Fullcast Co Ltd   349 
 20,250     Funai Soken Holdings, Inc   450 
 4,642     GL Events   125 
 87,339  *  GP Strategies Corp   1,537 
 780,000  e  Greentown Service Group Co Ltd   706 
 1,259,330     Group 4 Securicor plc   4,436 
 8,503     Groupe CRIT   797 
 3,792,196     Hays plc   9,312 
 112,652  e  Healthcare Services Group   4,865 
 102,351     Heidrick & Struggles International, Inc   3,582 
 53,378  *  Heritage-Crystal Clean, Inc   1,073 
 124,480     Herman Miller, Inc   4,220 
 76,684  *  Hill International, Inc   452 
 64,936     HNI Corp   2,416 
 505,289     HomeServe plc   5,976 
 32,478  *  Huron Consulting Group, Inc   1,328 
 35,824     ICF International, Inc   2,545 
 807,646  *  IHS Markit Ltd   41,666 
40

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 4,477     Indiabulls Wholesale Service  $32 
 76,128  *  Innerworkings, Inc   662 
 211,595     Insperity, Inc   20,154 
 283,315     Interface, Inc   6,502 
 177,045     Intertek Group plc   13,312 
 74,472  g  Intertrust NV   1,321 
 147,614  e  Intrum Justitia AB   3,412 
 104,253  e  IPH Ltd   343 
 126,972     ISS A.S.   4,349 
 18,917  e  ITAB Shop Concept AB   75 
 23,700     Itoki Corp   138 
 400,253     IWG plc   1,682 
 8,400  e  JAC Recruitment Co Ltd   181 
 52,900  *  Jihua Group Corp Ltd   32 
 1,844     Kaba Holding AG.   1,288 
 261,031     KAR Auction Services, Inc   14,304 
 20,000     KD Holding Corp   115 
 45,654     Kelly Services, Inc (Class A)   1,025 
 23,722     KEPCO Plant Service & Engineering Co Ltd   759 
 180,849     Kforce, Inc   6,203 
 212,614     Kimball International, Inc (Class B)   3,436 
 169,181     Knoll, Inc   3,521 
 205,900     Kokuyo Co Ltd   3,652 
 304,379     Korn/Ferry International   18,850 
 23,700  e  Link And Motivation, Inc   285 
 187,438     Loomis AB   6,494 
 50,782     LSC Communications, Inc   795 
 160,262     Manpower, Inc   13,792 
 31,862     Matsuda Sangyo Co Ltd   469 
 47,261     Matthews International Corp (Class A)   2,779 
 84,155     McGrath RentCorp   5,324 
 42,877     McMillan Shakespeare Ltd   508 
 230,631  *,†,m  Media General, Inc   0 
 14,900     Meitec Corp   714 
 975,121     Michael Page International plc   7,231 
 38,501  *  Mistras Group, Inc   727 
 202,601     Mitie Group   418 
 21,244     Mitsubishi Pencil Co Ltd   440 
 66,435     Mobile Mini, Inc   3,116 
 52,857  e  Morneau Sobeco Income Fund   1,093 
 20,600     Moshi Moshi Hotline, Inc   294 
 70,895     MSA Safety, Inc   6,830 
 21,033     Multi-Color Corp   1,360 
 67,979  *  Navigant Consulting, Inc   1,505 
 19,063     NICE Information Service Co Ltd   188 
 6,800  *  Nichiban Co Ltd   185 
 472,332     Nielsen NV   14,609 
 81,700     Nihon M&A Center, Inc   2,367 
 11,400     Nippon Kanzai Co Ltd   226 
 135,200     Nippon Parking Development Co Ltd   232 
 16,298  *  NL Industries, Inc   142 
 21,700     Nomura Co Ltd   479 
41

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 123,700     Okamura Corp  $1,816 
 152,951  *  On Assignment, Inc   11,959 
 51,400     Outsourcing, Inc   951 
 14,668     Oyo Corp   187 
 71,800     Park24 Co Ltd   1,953 
 10,500  e  Pasona Group, Inc   170 
 22,100     Pilot Corp   1,229 
 317,339     Pitney Bowes, Inc   2,720 
 27,200     Prestige International, Inc   364 
 162,501     Prosegur Cia de Seguridad S.A.   1,059 
 191,334     Quad Graphics, Inc   3,985 
 45,643  *,g  Quess Corp Ltd   760 
 176,271     Randstad Holdings NV   10,346 
 286,000  *,e  Realord Group Holdings Ltd   171 
 2,179,378     Recruit Holdings Co Ltd   60,191 
 2,903,622     Rentokil Initial plc   13,388 
 500,863     Republic Services, Inc   34,239 
 46,504     Resources Connection, Inc   786 
 102,684  e  Restore plc   699 
 62,965     Ritchie Bros Auctioneers, Inc   2,148 
 118,200     Riverstone Holdings Ltd   87 
 369,648     Robert Half International, Inc   24,064 
 280,607     Rollins, Inc   14,754 
 124,528     RPS Group plc   420 
 305,709     RR Donnelley & Sons Co   1,761 
 18,031     S1 Corp (Korea)   1,566 
 13,652     Sato Corp   408 
 166,910     Secom Co Ltd   12,799 
 261,003     Securitas AB (B Shares)   4,280 
 555,713     Seek Ltd   8,955 
 644,633  *  Serco Group plc   840 
 214,391     SG Fleet Group Ltd   587 
 9,124     SGS S.A.   24,244 
 100,500  *,†,m  Shanghai Youngsun Investment C   93 
 248,800  *,†,m  Shanghai Zhongyida Co Ltd   67 
 469,898  e  Shanks Group plc   484 
 338,802     SmartGroup Corp Ltd   2,926 
 18,503     Societe BIC S.A.   1,716 
 46,100     Sohgo Security Services Co Ltd   2,169 
 165,614  *  SP Plus Corp   6,161 
 67,807     SPIE S.A.   1,372 
 43,310     Sporton International, Inc   210 
 10,637  e  Staffline Group plc   132 
 66,932  e  Stantec, Inc   1,721 
 128,552     Steelcase, Inc (Class A)   1,735 
 177,688  *  Stericycle, Inc   11,601 
 41,000     Sunny Friend Environmental Technology Co Ltd   289 
 9,202     Synergie S.A   453 
 173,660     Taiwan Secom Co Ltd   510 
 285,020     Taiwan-Sogo Shinkong Security Corp   354 
 90,000  e  Takeei Corp   974 
 23,500     Tanseisha Co Ltd   297 
 44,148  *,e  Team, Inc   1,020 
 5,819  *  TeamLease Services Ltd   252 
42

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 26,500     TechnoPro Holdings, Inc  $1,627 
 44,152     Teleperformance   7,793 
 1,333,034     Temp Holdings Co Ltd   29,687 
 142,884     Tetra Tech, Inc   8,359 
 23,500     Toppan Forms Co Ltd   238 
 450,669     Toppan Printing Co Ltd   3,526 
 34,000  e  Tosho Printing Co Ltd   304 
 238,632  e  Transcontinental, Inc   5,542 
 529,932     TransUnion   37,964 
 157,296  *  TriNet Group, Inc   8,799 
 62,220  *  TrueBlue, Inc   1,677 
 4,600  e  Trust Tech, Inc   161 
 33,300     Tus-Sound Environmental Resources Co Ltd   88 
 57,475     Unifirst Corp   10,167 
 16,700  *  United Technology Holdings Co Ltd   624 
 33,242     US Ecology, Inc   2,118 
 353,759  *  Verisk Analytics, Inc   38,079 
 30,651     Viad Corp   1,663 
 12,736     VSE Corp   609 
 155,740  *  WageWorks, Inc   7,787 
 232,485     Waste Connections, Inc   17,501 
 1,536,147     Waste Management, Inc   124,950 
 6,000  *  WDB Holdings Co Ltd   180 
 11,633  *  Willdan Group, Inc   360 
 113,060     Wolters Kluwer NV   6,351 
 4,000     World Holdings Co Ltd   121 
 7,100  *  YAMADA Consulting Group Co Ltd   204 
 23,900     Yumeshin Holdings Co Ltd   250 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES   1,272,799 
             
CONSUMER DURABLES & APPAREL - 2.0%
 560,000     361 Degrees International Ltd   172 
 13,820     Accell Group   295 
 52,359     Acushnet Holdings Corp   1,281 
 195,788     Adidas-Salomon AG.   42,626 
 632,837     Aksa Akrilik Kimya Sanayii   1,580 
 105,000     Alpargatas S.A.   328 
 357,600     Alpine Electronics, Inc   7,374 
 464,101  e  Amer Sports Oyj (A Shares)   14,593 
 81,678  *,e  American Outdoor Brands Corp   983 
 502,157     AmTRAN Technology Co Ltd   227 
 993,235     Anta Sports Products Ltd   5,238 
 7,976     Aquafil S.p.A   115 
 210,339     Arcelik AS   698 
 38,900     Arezzo Industria e Comercio S.A.   448 
 33,530  *,e  Aritzia, Inc   398 
 80,003     Arvind Ltd   466 
 103,437  e  Asics Corp   1,746 
 70,683     Bajaj Electricals Ltd   561 
 32,849  *  Bang & Olufsen AS (B Shares)   711 
 992,369     Barratt Developments plc   6,727 
 23,866  e  Bassett Furniture Industries, Inc   657 
 19,276     Bata India Ltd   242 
43

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 300,462  *  Beazer Homes USA, Inc  $4,432 
 320,478     Bellway plc   12,661 
 56,999     Beneteau S.A.   1,068 
 391,037     Berkeley Group Holdings plc   19,479 
 196,000  e  Best Pacific International Holdings Ltd   63 
 200,500  g  Bestway Global Holding, Inc   105 
 34,718     Bombay Dyeing & Manufacturing Co Ltd   112 
 179,606  e  Bonava AB   2,104 
 2,106,000     Bosideng International Holdings Ltd   289 
 180,222     Bovis Homes Group plc   2,717 
 63,847     Breville Group Ltd   549 
 178,251     BRP, Inc   8,594 
 119,283  e  Brunello Cucinelli S.p.A   5,311 
 93,924     Brunswick Corp   6,056 
 118,546     Burberry Group plc   3,369 
 770,000  *,e  C.banner International Holdings Ltd   217 
 878,786  *  Cairn Homes plc   1,806 
 5,552,409  *  Cairn Homes plc (London)   11,516 
 277,760     Callaway Golf Co   5,269 
 30,069  *,e  Canada Goose Holdings, Inc   1,768 
 151,483     Carter’s, Inc   16,419 
 17,315     Casio Computer Co Ltd   281 
 40,293  *  Cavco Industries, Inc   8,367 
 14,417     CCC S.A.   793 
 38,981  *  Century Communities, Inc   1,230 
 10,493     Chargeurs S.A.   313 
 2,860,400     China Dongxiang Group Co   525 
 970,000     China Lilang Ltd   1,390 
 8,500  e  Chofu Seisakusho Co Ltd   184 
 503     Christian Dior S.A.   210 
 650,082     Cie Financiere Richemont S.A.   54,954 
 966,000  e  Citychamp Watch & Jewellery Group Ltd   198 
 68,000  e  Clarion Co Ltd   183 
 31,029  *  Clarus Corp   256 
 8,000     Cleanup Corp   63 
 831,233     Coats Group plc   849 
 78,732     Columbia Sportswear Co   7,202 
 1,462,700  e  Consorcio ARA, S.A. de C.V.   498 
 7,600     Corona Corp   83 
 415,000  e,g  Cosmo Lady China Holdings Co Ltd   206 
 754,432  g  Countryside Properties plc   3,425 
 296,826     Crest Nicholson Holdings plc   1,523 
 333,425  *,e  CROCS, Inc   5,872 
 414,227     Crompton Greaves Consumer Electricals Ltd   1,366 
 17,936     Cuckoo Electronics Co Ltd   2,858 
 16,225     Culp, Inc   398 
 2,275,700     Cyrela Brazil Realty S.A.   6,459 
 130,142  *  Deckers Outdoor Corp   14,692 
 39,862     De’Longhi S.p.A.   1,127 
 4,939     Delta-Galil Industries Ltd   143 
 18,590     Descente Ltd   329 
 351,007     DFS Furniture plc   952 
 300,000  *  Direcional Engenharia S.A.   461 
 21,623     Dorel Industries, Inc (Class B)   367 
44

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 758,783     DR Horton, Inc  $31,110 
 165,413     Eclat Textile Co Ltd   1,965 
 882,878     Electrolux AB (Series B)   20,036 
 16,782     Escalade, Inc   237 
 17,300  *,e  ES-Con Japan Ltd   101 
 36,623     Ethan Allen Interiors, Inc   897 
 40,135     Ez Tec Empreendimentos e Participacoes S.A.   167 
 60,095     F&F Co Ltd   4,402 
 348,672     Feng TAY Enterprise Co Ltd   1,748 
 12,200  e  Fields Corp   115 
 196,219     Fila Korea Ltd   5,904 
 11,412     Flexsteel Industries, Inc   455 
 685     Forbo Holding AG.   1,021 
 1,601,852     Formosa Taffeta Co Ltd   1,751 
 66,894     Forus S.A.   214 
 236,434  *,e  Fossil Group, Inc   6,353 
 188,091     Foster Electric Co Ltd   2,691 
 14,400     France Bed Holdings Co Ltd   126 
 339,999  *,e,m  Fuguiniao Co Ltd    0^
 46,000     Fujibo Holdings Inc   1,494 
 33,000     Fujitsu General Ltd   516 
 110,739     Games Workshop Group plc   4,366 
 197,715     Garmin Ltd   12,061 
 46,924  e  Geox S.p.A.   132 
 15,891     Gerry Weber International AG.   102 
 248,439     Giant Manufacturing Co Ltd   1,050 
 196,588  *  G-III Apparel Group Ltd   8,728 
 394,891     Gildan Activewear, Inc   11,123 
 2,700,000  *,e,g  Glenveagh Properties plc   3,610 
 269,385  *,g  Glenveagh Properties plc   362 
 33,922,000  *,e  Global Brands Group Holding Ltd   2,025 
 6,300     Goldwin, Inc   545 
 454,000  e  Goodbaby International Holding   275 
 170,919  *,e  GoPro, Inc   1,101 
 29,600     Gree Electric Appliances, Inc of Zhuhai   210 
 35,609  *  Green Brick Partners, Inc   349 
 5,600     Guararapes Confeccoes S.A.   136 
 43,500     Gunze Ltd   2,785 
 1,308,944     Haier Electronics Group Co Ltd   4,466 
 9,724     Hamilton Beach Brands Holding Co   282 
 9,830     Handsome Co Ltd   367 
 689,909  e  Hanesbrands, Inc   15,192 
 10,289     Hansae Co Ltd   151 
 8,543     Hanssem Co Ltd   804 
 48,697     Hasbro, Inc   4,495 
 667,700     Haseko Corp   9,203 
 64     Hefei Meiling Co Ltd    0^
 47,100     Heilan Home Co Ltd   90 
 46,200     Heiwa Corp   1,114 
 82,053  *  Helen of Troy Ltd   8,078 
 23,376,000  *  HengTen Networks Group Ltd   830 
 21,385     Hermes International   13,063 
 16,386     Himatsingka Seide Ltd   69 

45

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 5,000  *  Hinokiya Group Co Ltd  $137 
 4,008     Hitachi Home & Life Solutions India Ltd   140 
 46,115  *,e  HLB, Inc   4,029 
 90,360     Hooker Furniture Corp   4,238 
 466,000  e,m  Hosa International Ltd   17 
 185,620  *  Hovnanian Enterprises, Inc (Class A)   303 
 25,575     HS Industries Co Ltd   183 
 11,290     Hugo Boss AG.   1,024 
 447,072     Husqvarna AB (B Shares)   4,229 
 151,094  e  Hwaseung Enterprise Co Ltd   1,533 
 18,925     Hyundai Livart Furniture Co Ltd   387 
 4,453     IC Companys AS   112 
 6,510  *  IFB Industries Ltd   116 
 312,125     Iida Group Holdings Co Ltd   6,009 
 33,347  *  Installed Building Products Inc   1,886 
 41,165  *,e  iRobot Corp   3,119 
 30,300     Japan Wool Textile Co Ltd   281 
 112,299  *  Jinshan Development & Construction Co Ltd   66 
 331,281     JM AB   5,900 
 157,500     JNBY Design Ltd   360 
 17,129     Johnson Outdoors, Inc   1,448 
 1,041,600     JVC KENWOOD Holdings, Inc   2,947 
 64,124     Kaufman & Broad S.A.   3,020 
 334,001     KB Home   9,098 
 783,000     Kinpo Electronics   255 
 34,244     KMC Kuei Meng International In   155 
 435,000     Konka Group Co Ltd   156 
 11,160     KPR Mill Ltd   104 
 457,000     Kurabo Industries Ltd   1,442 
 6,013     Kyungbang Ltd   75 
 9,444     LA Opala RG Ltd   33 
 178,000     La-Z-Boy, Inc   5,447 
 377,776  *  Lealea Enterprise Co Ltd   133 
 7,400  *  LEC, Inc   308 
 268,595  e  Leggett & Platt, Inc   11,990 
 28,318     Lennar Corp (B Shares)   1,209 
 643,592     Lennar Corp (Class A)   33,789 
 252,019     LG Electronics, Inc   18,764 
 54,795     LG Fashion Corp   1,382 
 28,092  *,e  LGI Homes, Inc   1,622 
 1,089,520  *  Li Ning Co Ltd   1,198 
 33,587     Lifetime Brands, Inc   425 
 2,162     LPP S.A.   4,877 
 456,865  *  Lululemon Athletica, Inc   57,040 
 674,250     Luthai Textile Co Ltd   773 
 174,179     Luxottica Group S.p.A.   11,215 
 402,810     LVMH Moet Hennessy Louis Vuitton S.A.   133,740 
 156,899  *  M/I Homes, Inc   4,155 
 120,735     Makalot Industrial Co Ltd   542 
 31,060  *  Malibu Boats Inc   1,303 
 850,800  e  Man Wah Holdings Ltd   666 
 6,442  *,†,m  Mariella Burani S.p.A.   0 
 35,381     Marine Products Corp   629 
 4,700     Mars Engineering Corp   111 
46

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,037,847  e  Mattel, Inc  $17,041 
 24,270  g  Mavi Giyim Sanayi Ve Ticaret AS.   206 
 196,886  *  MCBC Holdings, Inc   5,700 
 282,642  g  McCarthy & Stone plc   366 
 135,365     MDC Holdings, Inc   4,165 
 134,000     Merida Industry Co Ltd   670 
 219,958  *  Meritage Homes Corp   9,667 
 635,937  *  Michael Kors Holdings Ltd   42,353 
 44,500     Midea Group Co Ltd   350 
 13,700     Misawa Homes Co Ltd   114 
 57,000     Mitsui Home Co Ltd   343 
 39,300     Mizuno Corp   1,467 
 247,460  *  Mohawk Industries, Inc   53,023 
 358,008     Moncler S.p.A   16,245 
 177,917     Movado Group, Inc   8,593 
 1,312,265     MRV Engenharia e Participacoes S.A.   4,077 
 5,699     Nacco Industries, Inc (Class A)   192 
 254,054     Namco Bandai Holdings, Inc   10,465 
 374,000     Nameson Holdings Ltd   56 
 25,000     Nan Liu Enterprise Co Ltd   142 
 45,204  *  Nautilus, Inc   710 
 46,343  *,e,g  Neinor Homes S.A.   866 
 20,563  *  New Home Co Inc   205 
 106,778     New Wave Group AB (B Shares)   625 
 886,689     Newell Rubbermaid, Inc   22,868 
 169,000     Nien Made Enterprise Co Ltd   1,440 
 3,207,551     Nike, Inc (Class B)   255,578 
 221,024     Nikon Corp   3,513 
 119,400     Nishat Mills Ltd   139 
 66,070     Nobia AB   507 
 25,588  *  NVR, Inc   76,005 
 929,131     Onward Kashiyama Co Ltd   7,124 
 830,835     Oriental Weavers   567 
 106,351  g  OVS S.p.A   346 
 25,465     Oxford Industries, Inc   2,113 
 262,000  *,e,g  Ozner Water International Holding Ltd   61 
 563,778     Pacific Textile Holdings Ltd   479 
 7,414     Page Industries Ltd   3,007 
 72,000     Paiho Shih Holdings Corp   112 
 733,035     Panasonic Corp   9,885 
 69,530     Pandora AS   4,846 
 402,000  *,†,m  Peace Mark Holdings Ltd   0 
 19,629  *  Perry Ellis International, Inc   533 
 561,661     Persimmon plc   18,709 
 226,990  *  Peter England Fashions and Retail Ltd   457 
 397,381     Photo-Me International plc   535 
 20,656  *,m  PIK Group (GDR)   110 
 165,100  *,e  Pioneer Corp   229 
 81,048,570     Playmates Holdings Ltd   11,029 
 99,349     Polaris Industries, Inc   12,138 
 74,180     Pool Corp   11,238 
 1,906,341     Pou Chen Corp   2,212 
 12,755,808     Prada S.p.A   58,771 

47

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 84,700     Pressance Corp  $1,307 
 91,247,200     PT Sri Rejeki Isman Tbk   2,187 
 1,385,366     Pulte Homes, Inc   39,829 
 3,537     Puma AG. Rudolf Dassler Sport   2,066 
 16,545  *  Puma SE   9,680 
 303,120     PVH Corp   45,383 
 250,000  e  Q Technology Group Co Ltd   189 
 56,600     Qingdao Haier Co Ltd   164 
 38,000     Quang Viet Enterprise Co Ltd   162 
 193,184     Rajesh Exports Ltd   1,698 
 113,136     Ralph Lauren Corp   14,223 
 66,525     Raymond Ltd   892 
 1,022,550     Redrow plc   7,184 
 240,000  e,g  Regina Miracle International Holdings Ltd   186 
 47,444     Rinnai Corp   4,181 
 10,481     Rocky Brands, Inc   314 
 65,717  *,e  Roku, Inc   2,801 
 235,000  *  Roo Hsing Co Ltd   111 
 518,956     Ruentex Industries Ltd   1,057 
 21,209  *,e  Safilo Group S.p.A.   111 
 29,661  e  Salvatore Ferragamo Italia S.p.A   721 
 29,000     Sangetsu Co Ltd   587 
 67,121     Sankyo Co Ltd   2,625 
 16,092     SEB S.A.   2,807 
 16,204     Sega Sammy Holdings, Inc   277 
 65,500     Seiko Holdings Corp   1,406 
 715,730     Seiren Co Ltd   11,135 
 402,516     Sekisui Chemical Co Ltd   6,847 
 2,520,860     Sekisui House Ltd   44,555 
 15,656  e  Sharp Corp   381 
 726,124     Shenzhou International Group Holdings Ltd   8,935 
 6,745     Shimano, Inc   990 
 1,127     Sintex Industries Ltd    0^
 3,648     Sioen Industries NV   115 
 482,900  *  Skechers U.S.A., Inc (Class A)   14,492 
 10,616     Skyline Corp   372 
 1,704,000     Skyworth Digital Holdings Ltd   758 
 65,565  *  SodaStream International Ltd   5,593 
 5,123,309     Sony Corp   262,387 
 610,935  *,g  Spin Master Corp   27,088 
 39,208     SRF Ltd   971 
 50,400     Starts Corp, Inc   1,227 
 89,714     Steven Madden Ltd   4,764 
 25,089  e  Sturm Ruger & Co, Inc   1,405 
 275,254     Sumitomo Forestry Co Ltd   4,160 
 12,327     Superior Uniform Group, Inc   255 
 17,813     Surteco SE   522 
 17,584     Swatch Group AG.   8,324 
 201,002     Swatch Group AG. (Registered)   17,356 
 11,307     Symphony Ltd   234 
 710,602     Tainan Spinning Co Ltd   313 
 155,600     Taiwan Paiho Ltd   327 
 10,500     Tamron Co Ltd   187 
 1,253,854     Tapestry, Inc   58,567 
48

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,067,298  *  Tatung Co Ltd  $946 
 617,815  *  Taylor Morrison Home Corp   12,838 
 4,076,275     Taylor Wimpey plc   9,596 
 451,000     TCL Multimedia Technology Holdings Ltd   214 
 310,168  g  Technogym S.p.A   3,661 
 793,073     Techtronic Industries Co   4,405 
 17,181     Ted Baker plc   488 
 159,403     Telford Homes plc   831 
 437,360  *,e  Tempur Sealy International, Inc   21,015 
 1,781,500     Texhong Textile Group Ltd   2,681 
 458,000     Texwinca Holdings Ltd   195 
 218,826  e  Thomson   269 
 248,826  g  Thule Group AB   6,168 
 511,831  *  Titan Industries Ltd   6,566 
 6,139  e  Tod’s S.p.A.   382 
 34,090     Token Corp   3,004 
 268,051     Toll Brothers, Inc   9,915 
 71,169  *  TomTom NV   642 
 45,168     Tomy Co Ltd   374 
 83,482  *  TopBuild Corp   6,540 
 230,570  *  TRI Pointe Homes, Inc   3,772 
 15,755  e  Trigano S.A.   2,795 
 31,300     TSI Holdings Co Ltd   221 
 165,603     Tsutsumi Jewelry Co Ltd   2,746 
 1,713     TTK Prestige Ltd   145 
 140,926     Tupperware Corp   5,812 
 49,753  *  Turtle Beach Corp   1,011 
 458,299  *,e  Under Armour, Inc   9,661 
 1,270,713  *,e  Under Armour, Inc (Class A)   28,566 
 23,579  *  Unifi, Inc   747 
 151,800  *  Unitika Ltd   863 
 20,824  *  Universal Electronics, Inc   688 
 24,100  e  Universal Entertainment Corp   1,082 
 3,870     VAN DE Velde   140 
 28,607     Vardhman Textiles Ltd   509 
 66,990  *  Vera Bradley, Inc   941 
 27,727  *  Vestel Elektronik Sanayi   54 
 718,264     VF Corp   58,553 
 65,748  *,e  Victoria plc   716 
 22,438     VIP Industries Ltd   140 
 108,254  *  Vista Outdoor, Inc   1,677 
 65,600  *  Vulcabras Azaleia S.A.   105 
 36,122  *,e  Vuzix Corp   269 
 25,113     Wacoal Holdings Corp   731 
 526,619     Welspun India Ltd   416 
 16,171     Weyco Group, Inc   589 
 133,737     Whirlpool Corp   19,556 
 31,234     Whirlpool of India Ltd   699 
 101,629  *,e  William Lyon Homes, Inc   2,358 
 271,368     Wolverine World Wide, Inc   9,435 
 48,477     Woongjin Coway Co Ltd   3,767 
 993,500     XTEP International Holdings   678 
 29,681     Yamaha Corp   1,540 
49

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 10,500  e  Yondoshi Holdings, Inc  $257 
 37,000  e  Yonex Co Ltd   229 
 14,040     Youngone Corp   422 
 9,794     Youngone Holdings Co Ltd   482 
 524,907     Yue Yuen Industrial Holdings   1,480 
 303,219  *  Zagg, Inc   5,246 
 36,764     Zeng Hsing Industrial Co Ltd   155 
 23,400  e  Zojirushi Corp   286 
       TOTAL CONSUMER DURABLES & APPAREL   2,408,583 
             
CONSUMER SERVICES - 2.2%
 6,800  *,e  500.com Ltd (ADR)   100 
 210,007     888 Holdings plc   747 
 360,894     AA plc   591 
 50,015  *,g  AcadeMedia AB   271 
 3,093,799     Accor S.A.   151,522 
 15,037,400     Accordia Golf Trust   6,783 
 90,145  *  Adtalem Global Education, Inc   4,336 
 301,833     Advtech Ltd   344 
 4,600     Aeon Fantasy Co Ltd   268 
 68,591  e  Ainsworth Game Technology Ltd   53 
 330,000     Ajisen China Holdings Ltd   130 
 436,300     Alsea SAB de C.V.   1,503 
 34,614  *  American Public Education, Inc   1,457 
 1,596,884     ARAMARK Holdings Corp   59,244 
 10,500  e  ARCLAND SERVICE Co Ltd   223 
 5,786,594  e  Arcos Dorados Holdings, Inc   40,217 
 258,387     Ardent Leisure Group   377 
 965,220     Aristocrat Leisure Ltd   22,043 
 54,000  e  Atom Corp   524 
 310,514     Autogrill S.p.A.   3,835 
 20,997  *,g  Basic-Fit NV   707 
 99,517     BBX Capital Corp   899 
 837,160  *  Belmond Ltd.   9,334 
 93,225     Benesse Holdings Inc   3,306 
 2,151,700     Berjaya Sports Toto BHD   1,304 
 12,509     bet-at-home.com AG.   949 
 63,548     Betsson AB   385 
 164  *  Biglari Holdings, Inc (A Shares)   156 
 1,546  *  Biglari Holdings, Inc (B Shares)   284 
 61,654     BJ’s Restaurants, Inc   3,699 
 80,500  *  BK Brasil Operacao e Assessoria a Restaurantes S.A.   331 
 2,468,000     Bloomberry Resorts Corp   451 
 703,359     Bloomin’ Brands, Inc   14,138 
 11,566  e  Bluegreen Vacations Corp   275 
 26,735  *  Bojangles’, Inc   385 
 841,495     Boyd Gaming Corp   29,166 
 125,222  *  Bright Horizons Family Solutions   12,838 
 67,120  e  Brinker International, Inc   3,195 
 7,000     BRONCO BILLY Co Ltd   291 
 1,100,398  *  Caesars Entertainment Corp   11,774 
 206,000     Cafe de Coral Holdings Ltd   498 
 43,999  *  Cambium Learning Group, Inc   491 
50

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 44,566     Capella Education Co  $4,399 
 293,945  *  Career Education Corp   4,753 
 1,947,021     Carnival Corp   111,584 
 77,869     Carnival plc   4,451 
 186,035     Carriage Services, Inc   4,567 
 203,344  *  Carrols Restaurant Group, Inc   3,020 
 48,550  *  Century Casinos, Inc   425 
 64,972  e  Cheesecake Factory   3,577 
 161,777  *  Chegg, Inc   4,496 
 32,670  *,e  Cherry AB   220 
 23,500     China International Travel Service Corp Ltd   228 
 552,000  e  China Maple Leaf Educational Systems Ltd   991 
 277,000  e,g  China New Higher Education Group Ltd   255 
 2,516,000     China Travel International Inv HK   978 
 732,640  e,g  China Yuhua Education Corp Ltd   518 
 92,360  *,n  Chipotle Mexican Grill, Inc (Class A)   39,841 
 15,045     Choice Hotels International, Inc   1,137 
 17,946     Churchill Downs, Inc   5,321 
 25,001  *  Chuy’s Holdings, Inc   768 
 10,778     Cie des Alpes   370 
 53,550     City Lodge Hotels Ltd   553 
 42,191  *  Codere S.A.   408 
 62,708     Collins Foods Ltd   258 
 33,200  e  Colowide Co Ltd   887 
 676,356     Compass Group plc   14,417 
 51,755     Corporate Travel Management Ltd   1,044 
 96,864     Cox & Kings India Ltd   296 
 29,085  e  Cracker Barrel Old Country Store, Inc   4,543 
 25,700     Create Restaurants Holdings, Inc   376 
 375,289     Crown Resorts Ltd   3,745 
 96,793  *,e  Curro Holdings Ltd   206 
 94,100     CVC Brasil Operadora e Agencia de Viagens S.A.   1,097 
 83,000     Daekyo Co Ltd   577 
 101,000     Dahan Development Corp   202 
 4,200  e  Daisyo Corp   68 
 195,504  *  Dalata Hotel Group plc   1,594 
 130,392     Darden Restaurants, Inc   13,960 
 113,161  *  Dave & Buster’s Entertainment, Inc   5,386 
 31,526  *  Del Frisco’s Restaurant Group, Inc   397 
 49,546  *  Del Taco Restaurants, Inc   703 
 177,755  *  Denny’s Corp   2,832 
 135,751     Dignity plc   1,802 
 26,386  e  DineEquity, Inc   1,974 
 4,209  e  DO & CO AG.   249 
 39,991     Domino’s Pizza Enterprises Ltd   1,544 
 2,198,981     Domino’s Pizza Group plc   10,036 
 32,085     Domino’s Pizza, Inc   9,053 
 11,800,000  e  Donaco International Ltd   1,266 
 16,200     Doutor Nichires Holdings Co Ltd   321 
 94,782  *  Drive Shack, Inc   732 
 2,163,105  *  Dubai Parks & Resorts PJSC   195 
 33,555  e  Dunkin Brands Group, Inc   2,318 
 1,734,800     Dynam Japan Holdings Co Ltd   2,301 
51

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 122,549     EIH Ltd  $304 
 68,989  *  El Pollo Loco Holdings, Inc   786 
 100,151  *,e  Eldorado Resorts, Inc   3,916 
 65,709  g  Elior Participations S.C.A   947 
 19,515  *  Emerson Pacific, Inc   145 
 240,000     Emperor Entertainment Hotel Ltd   52 
 5,197  *,e  Empire Resorts, Inc   103 
 62,196     EnerCare, Inc   851 
 287,808  *  Enterprise Inns plc   553 
 397,300     Erawan Group PCL   76 
 1,048,500     Estacio Participacoes S.A.   6,595 
 13,048  g  Evolution Gaming Group AB   807 
 2,523,232     Extended Stay America, Inc   54,527 
 177,000     Fairwood Holdings Ltd   676 
 45,542  *,e  Famous Brands Ltd   376 
 37,871  *  Fiesta Restaurant Group, Inc   1,087 
 183,410     Flight Centre Travel Group Ltd   8,634 
 31,990     Formosa International Hotels Corp   156 
 616,000     Fu Shou Yuan International Group Ltd   693 
 11,499  e  Fuji Kyuko Co Ltd   343 
 5,400  e  Fujita Kanko, Inc   160 
 217,368  e  G8 Education Ltd   374 
 27,100     GAEC Educacao S.A.   105 
 3,074,974     Galaxy Entertainment Group Ltd   23,703 
 5,364,792     Genting BHD   11,161 
 8,697,371     Genting Singapore Ltd   7,788 
 1,759,078     Gold Reef Resorts Ltd   2,629 
 27,131  *,e  Golden Entertainment, Inc   732 
 62,155     Gourmet Master Co Ltd   600 
 3,024     Graham Holdings Co   1,772 
 118,144  *  Grand Canyon Education, Inc   13,186 
 21,139     Grand Korea Leisure Co Ltd   494 
 113,170  *  Great Canadian Gaming Corp   4,007 
 181,548     Greene King plc   1,375 
 294,375     Greggs plc   3,861 
 391,007     GVC Holdings plc   5,407 
 517,955     H&R Block, Inc   11,799 
 85,987  *,e  Habit Restaurants, Inc   860 
 820,000  *,g  Haichang Holdings Ltd   197 
 6,224     Hana Tour Service, Inc   488 
 14,396     Hiday Hidaka Corp   322 
 378,522  *  Hilton Grand Vacations, Inc   13,135 
 105,209     Hilton Worldwide Holdings, Inc   8,328 
 15,400  e  Hiramatsu Inc   71 
 20,100     HIS Co Ltd   605 
 245,700  *  Hoteles City Express SAB de C.V.   262 
 511,583  *  Houghton Mifflin Harcourt Co   3,914 
 161,375     Huangshan Tourism Development Co Ltd   192 
 4,290,000  *,e  Huayi Tencent Entertainment Co Ltd   204 
 183,800     Huazhu Group Ltd (ADR)   7,718 
 74,765     Hyatt Hotels Corp   5,768 
 9,700  e  Ichibanya Co Ltd   424 
 257,356     IDP Education Ltd   2,002 
 625,193     ILG, Inc   20,650 
52

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 489,091     Indian Hotels Co Ltd  $943 
 82,772     InterContinental Hotels Group plc   5,146 
 281,756  e  International Game Technology plc   6,548 
 61,639     International Speedway Corp (Class A)   2,755 
 60,616  e  Invocare Ltd   616 
 79,628  *  J Alexander’s Holdings, Inc   888 
 101,594     Jack in the Box, Inc   8,648 
 90,701  *  Jackpotjoy plc   1,148 
 374,297     Jollibee Foods Corp   1,845 
 41,825     Jubilant Foodworks Ltd   846 
 41,825  *,m  Jubilant Foodworks Ltd   846 
 105,465  *  K12, Inc   1,726 
 557,455     Kangwon Land, Inc   13,081 
 15,600     Kappa Create Co Ltd   203 
 12,400     Kisoji Co Ltd   314 
 8,600  *  KNT-CT Holdings Co Ltd   120 
 32,000     KOMEDA Holdings Co Ltd   629 
 93,200     Koshidaka Holdings Co Ltd   1,369 
 2,360,545     Kroton Educacional S.A.   5,676 
 6,800     Kura Corp   451 
 20,500  e  Kyoritsu Maintenance Co Ltd   1,123 
 2,233,692     Las Vegas Sands Corp   170,565 
 82,136  *  Laureate Education, Inc   1,177 
 273,331  e,g  LeoVegas AB   2,158 
 36,063  *  Lindblad Expeditions Holdings, Inc   478 
 6,033  *  Lotte Tour Development Co Ltd   116 
 1,231,000  e  Macau Legend Development Ltd   202 
 1,430,800     Magnum BHD   740 
 24,112     Mahindra Holidays & Resorts India Ltd   103 
 374,300  e  Mandarin Oriental International Ltd   872 
 1,097,045     Marriott International, Inc (Class A)   138,886 
 32,620  e  Marriott Vacations Worldwide Corp   3,685 
 370,675     Marston’s plc   487 
 5,300     Matsuya Foods Co Ltd   180 
 1,200,000     Max’s Group, Inc   256 
 1,812,979  n  McDonald’s Corp   284,076 
 73,053     McDonald’s Holdings Co Japan Ltd   3,725 
 13,000     Meiko Network Japan Co Ltd   150 
 2,264,085     Melco Crown Entertainment Ltd (ADR)   63,394 
 890,000     Melco International Development   2,730 
 30,264,600  *  Melco Resorts And Entertainment Philippines Corp   2,949 
 66,903     Melia Hotels International S.A.   915 
 71,132  g  Merlin Entertainments plc   363 
 720,500  e  MGM China Holdings Ltd   1,666 
 222,806     MGM Resorts International   6,468 
 1     Minor International PCL (ADR)    0^
 1,581,008     Minor International PCL (Foreign)   1,551 
 172,405     Mitchells & Butlers plc   590 
 9,816     Modetour Network, Inc   239 
 17,149  *  Monarch Casino & Resort, Inc   755 
 2,600  e  Monogatari Corp   265 
 14,000  e  MOS Food Services, Inc   413 
 16,139     MTY Food Group, Inc   618 
53

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 6,499     Nathan’s Famous, Inc  $612 
 127,869     Navitas Ltd   420 
 138,998     New Oriental Education & Technology Group (ADR)   13,158 
 121,931     NH Hoteles S.A.   900 
 22,982  *,e  Noodles & Co   283 
 101,122  *  Norwegian Cruise Line Holdings Ltd   4,778 
 7,400     Ohsho Food Service Corp   422 
 576,512     OPAP S.A.   6,500 
 9,605  *  Orascom Development Holding AG.   143 
 147,691     Oriental Land Co Ltd   15,485 
 18,650     Paddy Power plc   2,069 
 68,745     Pandox AB   1,165 
 34,739  e  Papa John’s International, Inc   1,762 
 28,249  e  Paradise Co Ltd   457 
 1,000,000  g  Parques Reunidos Servicios Centrales SAU   16,042 
 26,990     Patisserie Holdings plc   167 
 949,770  *,n  Penn National Gaming, Inc   31,903 
 8,200  e  Pepper Food Service Co Ltd   337 
 3,300  e  PIA Corp   186 
 2,772  *  Pierre & Vacances   95 
 79,395  *  Pinnacle Entertainment, Inc   2,678 
 333,951     Planet Fitness, Inc   14,674 
 24,488  *  PlayAGS, Inc   663 
 796,732     Playtech Ltd   7,900 
 11,900  e  Plenus Co Ltd   195 
 34,158  *  Potbelly Corp   442 
 4,877,000     Premium Leisure Corp   80 
 28,841     RCI Hospitality Holdings, Inc   913 
 230,787     Recipe Unlimited Corp   4,998 
 26,768  *  Red Lion Hotels Corp   312 
 19,324  *,e  Red Robin Gourmet Burgers, Inc   900 
 1,513,837     Red Rock Resorts, Inc   50,714 
 402,000     Regal Hotels International Holdings Ltd   250 
 105,005  *  Regis Corp   1,737 
 2,831,529     Resorts World BHD   3,419 
 50,300     Resorttrust, Inc   889 
 1,230,168  e  Restaurant Brands International, Inc   74,179 
 148,410     Restaurant Brands International, Inc (Toronto)   8,952 
 68,424     Restaurant Brands New Zealand Ltd   361 
 110,313  e  Restaurant Group plc   409 
 30,482     Rezidor Hotel Group AB   98 
 12,400     Ringer Hut Co Ltd   290 
 44,000     Round One Corp   691 
 149,816     Royal Caribbean Cruises Ltd   15,521 
 16,400  e  Royal Holdings Co Ltd   449 
 138,220     Ruth’s Chris Steak House, Inc   3,877 
 15,800     Saizeriya Co Ltd   361 
 2,740,495     Sands China Ltd   14,611 
 327,554  g  Scandic Hotels Group AB   2,818 
 83,629  *  Scientific Games Corp (Class A)   4,110 
 84,959  *,e  SeaWorld Entertainment, Inc   1,854 
 22,796  g  Ser Educacional S.A.   93 
 391,841     Service Corp International   14,024 
54

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 517,824  *  ServiceMaster Global Holdings, Inc  $30,795 
 37,479  *,e  Shake Shack, Inc   2,480 
 45,649     Shanghai Jinjiang International Travel Co Ltd   93 
 818,120     Shangri-La Asia Ltd   1,533 
 145,400  *  Shenzhen Overseas Chinese Town Co Ltd   158 
 1,138     Shinsegae Food Co Ltd   172 
 40,195  e  Six Flags Entertainment Corp   2,816 
 1,286,148     SJM Holdings Ltd   1,595 
 38,027     SkiStar AB (Series B)   791 
 1,195,823     Sky City Entertainment Group Ltd   3,269 
 149,600  e  Skylark Co Ltd   2,213 
 13,135     Sodexho Alliance S.A.   1,311 
 55,138  e  Sonic Corp   1,898 
 57,167  *  Sotheby’s (Class A)   3,106 
 18,051     Speedway Motorsports, Inc   313 
 1,438,335     SSP Group plc   12,001 
 8,600     St Marc Holdings Co Ltd   212 
 240,487  *,e  Stadio Holdings Ltd   72 
 482,942     Star Entertainment Grp Ltd   1,759 
 2,002,922     Starbucks Corp   97,843 
 191,700  *  Stars Group, Inc   6,953 
 16,341     Strayer Education, Inc   1,847 
 5,500     Studio Alice Co Ltd   130 
 79,675  *  Sun International Ltd   355 
 77,500  *  Sushiro Global Holdings Ltd   4,681 
 1,248,357     Tabcorp Holdings Ltd   4,115 
 312,726  *  TAL Education Group (ADR)   11,508 
 22,800  e  Tarena International, Inc (ADR)   173 
 101,163  *,g  Telepizza Group S.A.   684 
 102,848     Texas Roadhouse, Inc (Class A)   6,738 
 1,270,831     Thomas Cook Group plc   1,801 
 54,786     Thomas Cook India Ltd   213 
 3,600  *,e  TKP Corp   155 
 47,800     Tokyo Dome Corp   427 
 8,700     Tokyotokeiba Co Ltd   376 
 11,900     Toridoll.corp   281 
 9,800     Tosho Co Ltd   374 
 42,720  *  Town Sports International Holdings, Inc   622 
 2,202,949     TUI AG. (DI)   48,183 
 15,500  *,e  Tuniu Corp (ADR)   131 
 695,566     Unibet Group plc (ADR)   8,714 
 226,451     Vail Resorts, Inc   62,091 
 3,647  *,g  Vapiano SE   86 
 15,600  e  Watami Co Ltd   204 
 205,520  *  Weight Watchers International, Inc   20,778 
 70,513     Wendy’s   1,211 
 106,481     Wetherspoon (J.D.) plc   1,771 
 225,586     Whitbread plc   11,759 
 606,555     William Hill plc   2,423 
 343,270     Wingstop, Inc   17,891 
 348,000  e  Wisdom Education International Holdings Co Ltd   302 
 41,220     Wowprime Corp   121 
 69,211     Wyndham Hotels & Resorts, Inc   4,072 
55

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 160,050  e  Wyndham Worldwide Corp  $7,085 
 3,307,961     Wynn Macau Ltd   10,601 
 930,721  n  Wynn Resorts Ltd   155,747 
 12,900     Yomiuri Land Co Ltd   539 
 14,811     Yong Pyong Resort Co Ltd   100 
 38,200     Yoshinoya D&C Co Ltd   761 
 2,236,424     Yum China Holdings, Inc   86,013 
 347,850     Yum! Brands, Inc   27,209 
 71,400     Zensho Co Ltd   1,811 
 711,282  *,e  Zoe’s Kitchen, Inc   6,942 
       TOTAL CONSUMER SERVICES   2,661,030 
             
DIVERSIFIED FINANCIALS - 3.8%
 398,035     3i Group plc   4,712 
 17,410     ABC Arbitrage   145 
 21,490     Ackermans & Van Haaren   3,695 
 50,030  e  Acom Co Ltd   192 
 132,800     Aeon Credit Service M BHD   473 
 32,670     AEON Financial Service Co Ltd   696 
 43,521     Affiliated Managers Group, Inc   6,470 
 67,326     AG Mortgage Investment Trust   1,265 
 101,496     AGF Management Ltd   537 
 850,542     AGNC Investment Corp   15,812 
 969,200  *  Aiful Corp   3,017 
 58,277     Aker ASA (A Shares)   4,446 
 1,792,599     Al Waha Capital PJSC   852 
 22,839  e  Alaris Royalty Corp   277 
 580,826     Alexander Forbes Group Holdings Ltd   244 
 126,953  *  Allied Minds plc   176 
 1,038,992     Ally Financial, Inc   27,294 
 811,840     Amanat Holdings PJSC   274 
 2,373,744  n  American Express Co   232,627 
 385,423     Ameriprise Financial, Inc   53,913 
 3,194,930     AMP Ltd   8,403 
 520,513  g  Amundi S.A.   35,980 
 2,533,888  e,g  Anima Holding S.p.A   13,543 
 1,985,005     Annaly Capital Management, Inc   20,426 
 155,044     Anworth Mortgage Asset Corp   771 
 184,694     Apollo Commercial Real Estate Finance, Inc   3,376 
 79,993  e  Arbor Realty Trust, Inc   834 
 132,933     Ares Commercial Real Estate Corp   1,836 
 45,295  e  Arlington Asset Investment Corp (Class A)   467 
 62,097  *  ARMOUR Residential REIT, Inc   1,416 
 119,477  e  Arrow Global Group plc   382 
 72,901     Artisan Partners Asset Management, Inc   2,198 
 1,171  *,e  Ashford, Inc   76 
 2,006,065     Ashmore Group plc   9,835 
 12,981  *,†,m  Asia Pacific Investment Partners Ltd    0^
 7,618  e  Associated Capital Group, Inc   289 
 31,725     Aurelius AG.   1,878 
 430,586     Australian Stock Exchange Ltd   20,525 
 13,490  e  Avanza AB   691 
 2,588,473  *,e  AXA Equitable Holdings, Inc   53,348 
56

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 310,106     Ayala Corp  $5,345 
 2,215  *,†,m  Ayala Corp Preferred    0^
 92,035  e  Azimut Holding S.p.A.   1,418 
 31,850     B. Riley Financial, Inc   718 
 599,052  e  B2Holding ASA   1,248 
 1,728,453     B3 S.A.-Brasil Bolsa Balcao   9,120 
 173,527     Bajaj Finance Ltd   5,829 
 53,641  g  Banca Farmafactoring S.p.A   314 
 354,476  e  Banca Generali S.p.A   8,798 
 96,219     Banca IFIS S.p.A.   2,886 
 154,792     Banca Mediolanum S.p.A   1,046 
 45,926     Banco Latinoamericano de Exportaciones S.A. (Class E)   1,130 
 3,072,615     Bank of New York Mellon Corp   165,706 
 1,294,366     BGC Partners, Inc (Class A)   14,652 
 34,526     BinckBank NV   195 
 91,427     BlackRock, Inc   45,626 
 1,128,724     Blackstone Group LP   36,311 
 287,494  e  Blackstone Mortgage Trust, Inc   9,036 
 327,000  e  BOCOM International Holdings Co Ltd   75 
 337,600     Bolsa Mexicana de Valores S.A. de C.V.   566 
 45,204     Bolsas y Mercados Espanoles   1,491 
 216,598  *,e  Brait S.A.   672 
 465,297     Brewin Dolphin Holdings plc   2,175 
 750,000  e  Bright Smart Securities & Commodities Group Ltd   219 
 1,015,392  e  Brookfield Asset Management, Inc   41,190 
 178,474     BSE Ltd   2,187 
 190,461     BT Investment Management Ltd   1,393 
 66,912     Bure Equity AB   753 
 266,228     Burford Capital Ltd   5,236 
 539,150     Bursa Malaysia BHD   981 
 363,070     Canaccord Financial, Inc   2,005 
 200,087  *  Cannae Holdings, Inc   3,712 
 926,333     Capital First Ltd   6,979 
 679,828     Capital One Financial Corp   62,476 
 1,057,000     Capital Securities Corp   391 
 141,515     Capstead Mortgage Corp   1,267 
 216,205     CBOE Holdings, Inc   22,500 
 87,396     Cembra Money Bank AG.   6,845 
 12,058  *  Central Depository Services India Ltd   49 
 116,800     Century Leasing System, Inc   6,612 
 116,146     Cerved Information Solutions S.p.A   1,244 
 1,081,123     Chailease Holding Co Ltd   3,536 
 543,958     Challenger Financial Services Group Ltd   4,760 
 690,589     Charles Schwab Corp   35,289 
 21,073     Cherry Hill Mortgage Investment Corp   376 
 415,814     Chimera Investment Corp   7,601 
 583,000     China Bills Finance Corp   274 
 21,425,105     China Cinda Asset Management Co Ltd   6,861 
 919,125     China Everbright Ltd   1,682 
 6,720,000  *,e  China Financial International Investments Ltd   194 
 11,975,045  e  China Galaxy Securities Co Ltd   6,122 
 9,694,000  g  China Huarong Asset Management Co Ltd   2,795 
57

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,852,400  e,g  China International Capital Corp Ltd  $3,284 
 3,481  *,e  China Internet Nationwide Financial Services, Inc   58 
 496,000  *  China Investment Fund International Holdings Co Ltd   509 
 1,090,000  *,e  China LNG Group Ltd   156 
 930,000  *,e  China Tonghai International Financial Ltd   98 
 16,292,000  *,e  Chong Sing Holdings FinTech Gr   1,888 
 612,120     CI Financial Corp   11,002 
 2,347,415     CITIC Securities Co Ltd   4,667 
 120,800     CITIC Securities Co Ltd (Class A)   301 
 5,069,515  e  ClearView Wealth Ltd   4,352 
 380,145     Close Brothers Group plc   7,421 
 814,826  g  CMC Markets plc   2,144 
 646,054     CME Group, Inc   105,901 
 51,630     Coface S.A.   572 
 33,859     Cohen & Steers, Inc   1,412 
 127,360     Colony Credit Real Estate, Inc   2,640 
 71,700     Concentradora Hipotecaria SAPI de C.V.   59 
 195,416     Coronation Fund Managers Ltd   831 
 8,805     Corp Financiera Alba   511 
 41,081     Corp Financiera Colombiana S.A.   356 
 113,945  *,e  Cowen Group, Inc   1,578 
 96,364  *,e  Credit Acceptance Corp   34,055 
 22,917     Credit Analysis & Research Ltd   420 
 42,339  e  Credit Corp Group Ltd   566 
 80,042     Credit Saison Co Ltd   1,258 
 10,228,310     Credit Suisse Group   152,945 
 675,351     Credito Real SAB de C.V.   787 
 25,037     CRISIL Ltd   658 
 11,664  *  Curo Group Holdings Corp   291 
 234,851     CYS Investments, Inc   1,761 
 393,729     Daewoo Securities Co Ltd   3,009 
 51,842     Daishin Securities Co Ltd   544 
 13,887     Daishin Securities Co Ltd PF   107 
 2,083,475     Daiwa Securities Group, Inc   12,076 
 7,667     Daou Data Corp   80 
 70,158     Daou Technology, Inc   1,456 
 371,195     DeA Capital S.p.A.   554 
 359,353     Deutsche Bank AG. (Registered)   3,845 
 7,871     Deutsche Beteiligungs AG.   312 
 50,012     Deutsche Boerse AG.   6,649 
 4,647     Diamond Hill Investment Group, Inc   904 
 1,155,000  *  Dingyi Group Investment Ltd   109 
 383,660     Discover Financial Services   27,013 
 648,752  e,g  doBank S.p.A   8,527 
 199,284  *  Donnelley Financial Solutions, Inc   3,462 
 76,379     Dynex Capital, Inc   499 
 1,817,762  *  E*TRADE Financial Corp   111,174 
 289,170     Eaton Vance Corp   15,092 
 192,037     Eclipx Group Ltd   450 
 229,530     ECN Capital Corp   616 
 634,808     Edelweiss Capital Ltd   2,728 
 6,389  *  EFG Financial Products Holding AG.   367 
58

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 177,000     EFG International  $1,321 
 311,028     Egyptian Financial Group-Hermes Holding   400 
 223,931  e  Element Financial Corp   1,053 
 27,303  *,e  Elevate Credit, Inc   231 
 2,400,000     Emperor Capital Group Ltd   153 
 39,499  *,e  Encore Capital Group, Inc   1,446 
 202,707  *  Enova International, Inc   7,409 
 11,227     Eurazeo   850 
 1,688,232  g  Euronext NV   106,979 
 175,998     Evercore Partners, Inc (Class A)   18,559 
 47,784  e  Exantas Capital Corp   486 
 141,555     EXOR NV   9,472 
 76,538  *  Ezcorp, Inc (Class A)   922 
 72,978     Factset Research Systems, Inc   14,457 
 4,626,276  *  Far East Horizon Ltd   4,480 
 160,091     Federated Investors, Inc (Class B)   3,733 
 6,399     Ferratum Oyj   121 
 502,102  *,e  FGL Holdings   4,213 
 30,480     Fiera Capital Corp   273 
 219,719     Financial Engines, Inc   9,865 
 38,400     Financial Products Group Co Ltd   494 
 6,937  *  FinTech Group AG.   218 
 2,718,500     First Pacific Co   1,309 
 102,376     FirstCash, Inc   9,198 
 3,262,601     FirstRand Ltd   15,156 
 158,310     FlexiGroup Ltd   260 
 104,713  g  Flow Traders   4,074 
 255,015     Franklin Resources, Inc   8,173 
 4,180,000  *  Freeman Financial Corp Ltd   47 
 9,431,561     Fubon Financial Holding Co Ltd   15,780 
 33,409,242     Fuhwa Financial Holdings Co Ltd   15,215 
 15,100     Fuyo General Lease Co Ltd   1,038 
 48,744  e  Gain Capital Holdings, Inc   368 
 6,173     GAMCO Investors, Inc (Class A)   165 
 663,200  e  Gentera SAB de C.V.   587 
 27,390  *  Georgia Capital plc   372 
 2,380,800     GF Securities Co Ltd   3,459 
 104,700     GF Securities Co Ltd (Class A)   209 
 11,455     Gimv NV   698 
 105,021     Gluskin Sheff + Associates, Inc   1,312 
 2,429,809  n  Goldman Sachs Group, Inc   535,943 
 180,801     Granite Point Mortgage Trust, Inc   3,318 
 25,478  e  Great Ajax Corp   333 
 189,094  *  Green Dot Corp   13,878 
 36,276  e  Greenhill & Co, Inc   1,030 
 14,453     GRENKELEASING AG.   1,648 
 88,621     Groupe Bruxelles Lambert S.A.   9,323 
 418,832     Grupo de Inversiones Suramericana S.A.   5,373 
 223,710     Grupo de Inversiones Suramericana S.A. (Preference)   2,728 
 58,875     GT Capital Holdings, Inc   1,004 
 276,500  e  Guolian Securities Co Ltd   85 
 8,430,800  e  Guotai Junan International Hol   1,817 
59

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,321,000  e,g  Guotai Junan Securities Co Ltd  $2,799 
 788,559     Haci Omer Sabanci Holding AS   1,514 
 5,485,362     Haitong Securities Co Ltd   5,534 
 95,000     Haitong Securities Co Ltd (Class A)   136 
 21,625  e  Hamilton Lane, Inc   1,037 
 13,260     Hankook Tire Worldwide Co Ltd   209 
 59,334  *  Hanwha Securities Co   138 
 681,958     Hargreaves Lansdown plc   17,678 
 39,290     Hellenic Exchanges S.A.   213 
 107,700     Hitachi Capital Corp   2,780 
 8,480     HMC Investment Securities Co Ltd   76 
 82,925  e,g  Hoist Finance AB   606 
 1,449,752     Hong Kong Exchanges and Clearing Ltd   43,387 
 249,413     Houlihan Lokey, Inc   12,775 
 999,500  e  Huarong International Financial Holdings Ltd   178 
 4,646,000  g  Huatai Securities Co Ltd   7,368 
 109,616     Huatai Securities Co Ltd (Class A)   247 
 2,038  *  Hypoport AG.   379 
 62,900     IBJ Leasing Co Ltd   1,662 
 140,300     Ichiyoshi Securities Co Ltd   1,517 
 365,175  *  IFCI Ltd   79 
 1,371,006     IG Group Holdings plc   15,546 
 107,611  e  IGM Financial, Inc   3,119 
 138,469     India Infoline Ltd   1,352 
 1,599,717     Indiabulls Housing Finance Ltd   26,747 
 131,297     Indiabulls Securities Ltd   937 
 3,814  *,g  Indian Energy Exchange Ltd   92 
 48,658     Industrivarden AB   939 
 625,533     Infrastructure Development Finance Co Ltd   423 
 116,742  *  IntegraFin Holdings plc   555 
 265,884     Interactive Brokers Group, Inc (Class A)   17,126 
 524,788     IntercontinentalExchange Group, Inc   38,598 
 267,993     Intermediate Capital Group plc   3,882 
 139,055     International Personal Finance plc   374 
 60,841  *  INTL FCStone, Inc   3,146 
 173,328     Inversiones La Construccion S.A.   2,760 
 275,028     Invesco Ltd   7,305 
 171,222     Invesco Mortgage Capital, Inc   2,722 
 1,154,845     Investec Ltd   8,087 
 98,918     Investec plc   699 
 42,084     Investment AB Kinnevik (B Shares)   1,434 
 15,813     Investment AB Oresund   222 
 149,446     Investment Technology Group, Inc   3,126 
 120,936     Investor AB (B Shares)   4,899 
 258,037     IOOF Holdings Ltd   1,711 
 370,271  e  iShares MSCI Canada Index Fund   10,556 
 1,921,672     iShares MSCI EAFE Index Fund   128,694 
 1,043,077  e  iShares MSCI Emerging Markets   45,197 
 250,559     iShares Russell 1000 Value Index Fund   30,413 
 41,000  e  J Trust Co Ltd   338 
 17,400     Jaccs Co Ltd   376 
 107,217     Jafco Co Ltd   4,346 
 82,128     Janus Henderson Group plc   2,524 
 30,500  e  Japan Investment Adviser Co Ltd   1,490 
60

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,841,700     Japan Securities Finance Co Ltd  $10,072 
 879,161     Jefferies Financial Group, Inc   19,992 
 898,346     Jih Sun Financial Holdings Co Ltd   268 
 130,886     JM Financial Ltd   221 
 196,161     JSE Ltd   2,318 
 308,383     Julius Baer Group Ltd   18,062 
 851,287     Julius Baer Holding AG.   11,706 
 8,500  e  Jupai Holdings Ltd (ADR)   161 
 1,309,736     Jupiter Investment Management Group Ltd   7,679 
 296,500     kabu.com Securities Co Ltd   960 
 43,715     KBC Ancora   2,331 
 8,936  e  KIWOOM Securities Co Ltd   869 
 112,455  e  KKR Real Estate Finance Trust, Inc   2,224 
 41,191     Korea Investment Holdings Co Ltd   3,106 
 11,648     KRUK S.A.   621 
 9,028     Kyobo Securities Co   77 
 14,000     Kyokuto Securities Co Ltd   183 
 774,854     Ladder Capital Corp   12,103 
 425,678     Ladenburg Thalmann Financial Services, Inc   1,447 
 899,665     Lazard Ltd (Class A)   44,003 
 61,985     Legg Mason, Inc   2,153 
 488,575  *  LendingClub Corp   1,852 
 571,557     London Stock Exchange Group plc   33,647 
 414,680     LPL Financial Holdings, Inc   27,178 
 63,265  e  Lundbergs AB (B Shares)   1,936 
 4,300  *  M&A Capital Partners Co Ltd   383 
 349,463     Macquarie Group Ltd   31,849 
 132,864     Magellan Financial Group Ltd   2,287 
 180,492  *  Magma Fincorp Ltd   429 
 269,066  *  Mahindra & Mahindra Financial Services Ltd   1,847 
 10,770,742     Man Group plc   24,968 
 1,047,259     Manappuram General Finance & Leasing Ltd   1,506 
 62,998     MarketAxess Holdings, Inc   12,465 
 13,277     Marlin Business Services Corp   396 
 206,400  *  Marusan Securities Co Ltd   1,894 
 601,401     Masterlink Securities Corp   212 
 675,000     Matsui Securities Co Ltd   6,443 
 183,044     Meritz finance Holdings Co Ltd   2,200 
 182,472     Meritz Securities Co Ltd   580 
 13,920,906     Metro Pacific Investments Corp   1,200 
 893,429     MFA Mortgage Investments, Inc   6,772 
 483,637     Mitsubishi UFJ Lease & Finance Co Ltd   2,965 
 37,677     MLP AG.   234 
 102,675     Moelis & Co   6,022 
 24,847     Moelis Australia Ltd   110 
 728,000  e  Monex Beans Holdings, Inc   4,197 
 329,864     Moody’s Corp   56,262 
 4,612,205     Morgan Stanley   218,619 
 51,913     Morningstar, Inc   6,658 
 46,933     Motilal Oswal Financial Services Ltd   531 
 141,366     MSCI, Inc (Class A)   23,386 
 67,703     MTGE Investment Corp   1,327 
 451,800     Muangthai Capital PCL   450 
61

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 712,891     Multi Commodity Exchange of India Ltd  $7,597 
 138,452     Muthoot Finance Ltd   767 
 227,584     NASDAQ OMX Group, Inc   20,772 
 838,122     Natixis   5,930 
 511,983     Navient Corp   6,671 
 3,600     NEC Capital Solutions Ltd   63 
 28,559     Nelnet, Inc (Class A)   1,668 
 24,313  e,g  Netmarble Corp   3,326 
 45,181  *  Netwealth Group Ltd   274 
 739,053     New Residential Investment Corp   12,926 
 166,726  e  New York Mortgage Trust, Inc   1,002 
 56,823  *,†,m  NewStar Financial, Inc   28 
 219,500     NEX Group plc   2,967 
 10,434     NICE Holdings Co Ltd   156 
 28,400  *,e  Noah Holdings Ltd (ADR)   1,481 
 791,010     Nomura Holdings, Inc   3,828 
 100,081     Northern Trust Corp   10,297 
 358,704     Numis Corp plc   1,952 
 3,417,866  e  NZX Ltd   2,616 
 82,000     Okasan Holdings, Inc   403 
 1,125,456     OM Asset Management plc   16,049 
 641,427  *  On Deck Capital, Inc   4,490 
 307,327  *  OneMain Holdings, Inc   10,231 
 143,793     Onex Corp   10,554 
 500,000  e  OP Financial Investments Ltd   198 
 15,237     Oppenheimer Holdings, Inc   427 
 77,135  e  Orchid Island Capital, Inc   580 
 271,900     Orient Corp   365 
 600,000  e,g  Orient Securities Co Ltd   467 
 4,216,956     ORIX Corp   66,468 
 588,912     Osaka Securities Exchange Co Ltd   10,923 
 605,712     OSK Holdings BHD   146 
 186,083     OzForex Group Ltd   240 
 48,470     P2P Global Investments plc   515 
 49,741     Pargesa Holding S.A.   4,210 
 10,483     Partners Group   7,664 
 91,408     PennyMac Mortgage Investment Trust   1,736 
 491,653     Peregrine Holdings Ltd   773 
 517,000  *,†,m  Peregrine Investment Holdings   0 
 59,642     Perpetual Trustees Australia Ltd   1,836 
 32,755     Pico Holdings, Inc   382 
 58,500     Pinnacle Investment Management Group Ltd   232 
 224,790  *  Pioneers Holding   102 
 22,354     Piper Jaffray Cos   1,718 
 30,108     PJT Partners, Inc   1,607 
 358,123     Platinum Asset Mangement Ltd   1,521 
 778,628     Plus500 Ltd   16,485 
 407,601     Power Finance Corp Ltd   460 
 67,493  *,e  PRA Group, Inc   2,602 
 489,082  *  President Securities Corp   238 
 148,927     Provident Financial plc   1,175 
 128,606     PSG Group Ltd   2,023 
 8,259,100  *  PT Kresna Graha Investama Tbk   418 
 120,688     Pzena Investment Management, Inc (Class A)   1,112 
62

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 6,954,765  *,g  Quilter plc  $13,302 
 342,375     Ratchthani Leasing PCL   75 
 49,589     Rathbone Brothers   1,692 
 129,928  e  Ratos AB (B Shares)   433 
 282,894     Raymond James Financial, Inc   25,277 
 114,413     Redwood Trust, Inc   1,884 
 112,644  *  Regional Management Corp   3,945 
 171,447  *  Reinet Investments S.C.A   3,020 
 334,540     Reliance Capital Ltd   1,896 
 674,003     Remgro Ltd   10,015 
 40,716     Repco Home Finance Ltd   328 
 700,363  g  Resurs Holding AB   4,491 
 10,800     Ricoh Leasing Co Ltd   355 
 1,158,079     RMB Holdings Ltd   6,372 
 1,687,963     Rural Electrification Corp Ltd   2,583 
 698,264     S&P Global, Inc   142,369 
 35,197  *  Safeguard Scientifics, Inc   451 
 32,091     Samsung Card Co   1,103 
 68,921     Samsung Securities Co Ltd   2,151 
 80,731     Sanne Group plc   718 
 490,795     Santander Consumer USA Holdings, Inc   9,369 
 244,200     Sawada Holdings Co Ltd   2,276 
 974,514     SBI Holdings, Inc   24,987 
 53,212     Schroders plc   2,208 
 333,524     SEI Investments Co   20,852 
 5  *,†,m  SFCG Co Ltd   0 
 94,000  *  Sheng Ye Capital Ltd   86 
 2,093     Shinyoung Securities Co Ltd   107 
 452,730     Shriram Transport Finance Co Ltd   8,591 
 11,376  *,e  Siebert Financial Corp   119 
 11,408     Silvercrest Asset Management Group, Inc   186 
 1,547,530     Singapore Exchange Ltd   8,132 
 152,478  *  SK Securities Co Ltd   144 
 6,230,000  e  Skyway Securities Group Ltd   360 
 861,904  *  SLM Corp   9,869 
 768,475  *,†,e,m  SNS Reaal   9 
 20,558,357     Sociedad de Inversiones Oro Blanco S.A.   174 
 5,216     Societe Fonciere Financiere et de Participations FFP   644 
 17,589     Sofina S.A.   3,037 
 513,648  e  Sparx Group Co Ltd   1,163 
 12,500     SPDR Trust Series 1   3,391 
 503,762  e  Sprott, Inc   1,165 
 917,110     SREI Infrastructure Finance Ltd   833 
 350,950     Srisawad Corp PCL   312 
 395,801     St. James’s Place plc   5,972 
 2,214,582     Standard Life plc   9,483 
 1,930,182     State Street Corp   179,681 
 237,737     Stifel Financial Corp   12,422 
 4,800  *  Strike Co Ltd   186 
 5,109,000     Sun Hung Kai & Co Ltd   2,868 
 33,189     Sundaram Finance Ltd   775 
 24,256     Swissquote Group Holding S.A.   1,343 
 1,963,413     Synchrony Financial   65,539 
63

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 178,502     T Rowe Price Group, Inc  $20,722 
 13,517,366     Tai Fook Securities Group Ltd   6,140 
 671,000     Taiwan Acceptance Corp   2,606 
 63,642  e  Tamburi Investment Partners S.p.A.   437 
 8,197     Tata Investment Corp Ltd   97 
 218,381     TD Ameritrade Holding Corp   11,961 
 250,088     Thomson Corp (Toronto)   10,092 
 95,255     TI Financial Holdings Ltd   854 
 68,566     TMX Group Ltd   4,495 
 383,180     Tokai Tokyo Securities Co Ltd   2,442 
 71,380  *  Tong Yang Investment Bank   236 
 47,493     TPG RE Finance Trust, Inc   965 
 362,946     Tullett Prebon plc   2,014 
 353,247     Two Harbors Investment Corp   5,581 
 1,646,274     UBS AG.   25,238 
 637,700  e  Unifin Financiera SAPI de C.V. SOFOM ENR   1,717 
 1,143,432     UOB-Kay Hian Holdings Ltd   1,066 
 78,289  *  Uranium Participation Corp   242 
 17,900  *  Uzabase, Inc   528 
 1,797     Value Line, Inc   43 
 3,511,000  e  Value Partners Group Ltd   2,761 
 18,551     Verusa Holding AS.   88 
 140,408     Virtu Financial, Inc   3,728 
 10,258     Virtus Investment Partners, Inc   1,313 
 13,676  e  Volati AB   61 
 67,652     Vontobel Holding AG.   4,907 
 2,334,978     Voya Financial, Inc   109,744 
 2,008     VZ Holding AG.   631 
 373,643  e  Waddell & Reed Financial, Inc (Class A)   6,714 
 19,130     Warsaw Stock Exchange   187 
 1,873,160     Waterland Financial Holdings   660 
 22,593     Wendel   3,109 
 61,539     Western Asset Mortgage Capital Corp   641 
 12,935     Westwood Holdings Group, Inc   770 
 177,866     WisdomTree Investments, Inc   1,615 
 747,848     Woori Investment & Securities Co Ltd   10,018 
 9,274  *  World Acceptance Corp   1,030 
 13,700  e  Yintech Investment Holdings Ltd (ADR)   115 
 27,861     ZAIS Financial Corp   453 
 427,664     Zeder Investments Ltd   167 
 172,500     Zenkoku Hosho Co Ltd   7,810 
       TOTAL DIVERSIFIED FINANCIALS   4,663,186 
             
ENERGY - 6.6%        
 660,562  *  Abraxas Petroleum Corp   1,909 
 3,591     Adams Resources & Energy, Inc   154 
 16,229,804     Adaro Energy Tbk   2,025 
 110,231  *  Advantage Oil & Gas Ltd   345 
 54,892     Aegis Logistics Ltd   171 
 3,975,000  e  Agritrade Resources Ltd   749 
 99,931  *  Akastor ASA   220 
 275,970     Aker BP ASA   10,151 
 94,477  *  Aker Solutions ASA   659 
 145,435  *,e  Alta Mesa Resources, Inc   990 
64

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 87,385  e  AltaGas Income Trust  $1,805 
 37,178  *  Amyris, Inc   238 
 1,011,735     Anadarko Petroleum Corp   74,110 
 167,887     Andeavor   22,023 
 193,601  *  Antero Resources Corp   4,133 
 1,202,000  *  Anton Oilfield Services Group   172 
 100,000     AOC Holdings, Inc   375 
 616,273     Apache Corp   28,811 
 530,895  *  Apergy Corp   22,165 
 309,128  *,e  Approach Resources, Inc   754 
 95,221     ARC Resources Ltd   984 
 99,628     Arch Coal, Inc   7,814 
 682,574     Archrock, Inc   8,191 
 49,671  *  Ardmore Shipping Corp   407 
 583,990  *,e  Athabasca Oil Corp   800 
 1,126,347     Baker Hughes a GE Co   37,203 
 229,600     Bangchak Corp PCL   222 
 2,262,010     Banpu PCL (Foreign)   1,330 
 114,643  *  Basic Energy Services, Inc   1,274 
 164,100  *,e  Baytex Energy Trust   545 
 4,061,704     Beach Petroleum Ltd   5,257 
 1,242,482     Bharat Petroleum Corp Ltd   6,792 
 135,962     Birchcliff Energy Ltd   498 
 270,418  *,e  Bonanza Creek Energy, Inc   10,241 
 154,384  e  Bonavista Energy Trust   175 
 13,450  e  Bonterra Oil & Gas Ltd   175 
 204,677  *,e  Borr Drilling Ltd   976 
 16,142  e  Bourbon S.A.   89 
 15,794,622     BP plc   120,174 
 547,485     BP plc (ADR)   24,998 
 4,650,000  *,†,e,m  Brightoil Petroleum Holdings Ltd   889 
 50,476  e  Bristow Group, Inc   712 
 1,734,100  *  Bumi Armada BHD   309 
 50,594  *,e,g  BW LPG Ltd   201 
 278,390  *  BW Offshore Ltd   1,421 
 98,091  *  C&J Energy Services, Inc   2,315 
 346,452     Cabot Oil & Gas Corp   8,246 
 274,828  *  Cactus, Inc   9,286 
 868,272  *  Cairn Energy plc   2,851 
 43,571  *,e  Calfrac Well Services Ltd   185 
 68,668  *,e  California Resources Corp   3,120 
 341,498  *,e  Callon Petroleum Co   3,668 
 257,742     Caltex Australia Ltd   6,203 
 106,708     Cameco Corp (Toronto)   1,200 
 874,544  *,e  Canacol Energy Ltd   2,834 
 1,796,367     Canadian Natural Resources Ltd (Canada)   64,837 
 34,524  *,e  CARBO Ceramics, Inc   317 
 63,029  e  Cardinal Energy Ltd   265 
 119,112  *  Carrizo Oil & Gas, Inc   3,317 
 1,563,193     Cenovus Energy, Inc   16,226 
 2,416,705     Cenovus Energy, Inc (Toronto)   25,093 
 365,680  *,e  Centennial Resource Development, Inc   6,604 
 139,344  e  CES Energy Solutions Corp   476 
65

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 381,045  *  CGG S.A.  $943 
 543,096  *  Cheniere Energy, Inc   35,404 
 161,425     Chennai Petroleum Corp Ltd   718 
 440,038  *,e  Chesapeake Energy Corp   2,306 
 5,672,660     Chevron Corp   717,195 
 160,400  e  China Aviation Oil Singapore Corp Ltd   174 
 2,587,000     China Coal Energy Co   1,068 
 2,113,826     China Oilfield Services Ltd   1,991 
 11,377,795     China Shenhua Energy Co Ltd   26,911 
 7,036,000     China Suntien Green Energy Cor   2,019 
 268,289     Cimarex Energy Co   27,296 
 1,688,779  *  Clean Energy Fuels Corp   6,232 
 320,860  *  Cloud Peak Energy, Inc   1,120 
 25,649,246     CNOOC Ltd   43,951 
 411,583  *  CNX Resources Corp   7,318 
 750,904     Coal India Ltd   2,898 
 118  *,†,b,m  Cobalt International Energy, Inc   0^
 127,554     Computer Modelling Group Ltd   980 
 2,245,313  *  Concho Resources, Inc   310,639 
 1,201,565     ConocoPhillips   83,653 
 254,537  *  CONSOL Energy, Inc   9,761 
 1,334,731  *  Continental Resources, Inc   86,437 
 125  e  Core Laboratories NV   16 
 175,828     Cosan SA Industria e Comercio   1,596 
 298,400     Cosmo Energy Holdings Co Ltd   10,450 
 47,337  *,e  Covia Holdings Corp   879 
 266,491  e  Crescent Point Energy Corp   1,958 
 106,635  *  Crew Energy, Inc   163 
 24,195  e  CVR Energy, Inc   895 
 32,376  *  Dawson Geophysical Co   256 
 2,650     Delek Group Ltd   361 
 999,040     Delek US Holdings, Inc   50,122 
 940,107  *  Denbury Resources, Inc   4,522 
 957,007     Devon Energy Corp   42,070 
 139,215     DHT Holdings, Inc   653 
 3,997,751     Dialog Group BHD   3,053 
 99,392  *,e  Diamond Offshore Drilling, Inc   2,073 
 1,334,977     Diamondback Energy, Inc   175,643 
 4,328,174  *  DNO International ASA   7,968 
 775,100  *  Dommo Energia S.A.   284 
 42,788  *  Dorian LPG Ltd   327 
 57,388  *  Dril-Quip, Inc   2,950 
 2,654     E1 Corp   163 
 68,703  *  Earthstone Energy, Inc   608 
 167,541  *  Eclipse Resources Corp   268 
 4,815,262     Ecopetrol S.A.   4,970 
 362,359     Empresas COPEC S.A.   5,572 
 285,274     Enagas   8,320 
 80,666  e  Enbridge Income Fund   1,978 
 1,367,530     Enbridge, Inc (Toronto)   48,890 
 1,102,478     EnCana Corp   14,399 
 174,687     Enerflex Ltd   1,879 
 551,074  *  Energen Corp   40,129 
 1,161,414     Energy Absolute PCL (Foreign)   1,146 
66

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,168,600  †,m  Energy Earth PCL  $39 
 112,294  *  Energy Fuels, Inc   255 
 1,053,134  *,e  Energy Resources of Australia Ltd   307 
 337,193  *  Energy XXI Gulf Coast, Inc   2,981 
 884,058  e  Enerplus Resources Fund   11,149 
 3,484,604     ENI S.p.A.   64,609 
 1,471,370  *,e  Enquest plc (London)   682 
 742  e  Ensco plc   5 
 81,067  e  Ensign Energy Services, Inc   362 
 4,327,099     EOG Resources, Inc   538,421 
 70,368  *,e  EP Energy Corp   211 
 216,271     EQT Corp   11,934 
 166,351  *  Era Group, Inc   2,154 
 542,400     Esso Malaysia BHD   971 
 4,294  *  Esso SA Francaise   242 
 7,483,200     Esso Thailand PCL (Foreign)   2,619 
 103,295  *  Etablissements Maurel et Prom   753 
 69,625  e  Euronav NV   638 
 37,510     Evolution Petroleum Corp   369 
 16,942     Exmar NV   120 
 419,522  *  Exterran Corp   10,505 
 218,673  *,e  Extraction Oil & Gas, Inc   3,212 
 747,720     Exxaro Resources Ltd   6,827 
 9,484,291     Exxon Mobil Corp   784,635 
 1,141,997  *  Ezion Holdings Ltd   76 
 172,194  *  Faroe Petroleum plc   333 
 131,713  *,e  FLEX LNG Ltd   199 
 4,271,814     Formosa Petrochemical Corp   17,138 
 119,869  *  Forum Energy Technologies, Inc   1,480 
 110,818  e  Frank’s International NV   864 
 91,795  e  Freehold Royalty Trust   866 
 117,609  e  Frontline Ltd   687 
 50,222  e  Frontline Ltd (Sigmax MTF)   291 
 129,837  *  FTS International, Inc   1,849 
 46,982  *,e  Fugro NV   681 
 696,661     Galp Energia SGPS S.A.   13,253 
 60,761  e  GasLog Ltd   1,161 
 763,711     Gazprom (ADR)   3,368 
 5,301,627     Gazprom OAO (ADR)   23,233 
 13,543     Gazpromneft OAO (ADR)   345 
 61,468     Gaztransport Et Technigaz S.A.   3,762 
 83,835  e  Gibson Energy, Inc   1,118 
 145,544  e  Golar LNG Ltd   4,288 
 13,285  *  Goodrich Petroleum Corp   164 
 83,098     Great Eastern Shipping Co Ltd   342 
 60,072  e  Green Plains Renewable Energy, Inc   1,099 
 101,009     Grupa Lotos S.A.   1,530 
 55,974     GS Holdings Corp   2,731 
 59,724     Gujarat Mineral Development Corp Ltd   93 
 33,272     Gulf International Services OSC   156 
 123,539  *  Gulf Keystone Petroleum Ltd   408 
 5,695  *,e  Gulfmark Offshore, Inc   191 
 760,152  *  Gulfport Energy Corp   9,555 
67

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 207,546  *,e  Halcon Resources Corp  $911 
 28,743     Hallador Energy Co   205 
 2,754,099     Halliburton Co   124,100 
 471     Hankook Shell Oil Co Ltd   149 
 258,513  *  Helix Energy Solutions Group, Inc   2,153 
 209,744     Helmerich & Payne, Inc   13,373 
 264,606     Hess Corp   17,699 
 1,549,924  *  HighPoint Resources Corp   9,424 
 1,219,434     Hindustan Petroleum Corp Ltd   4,627 
 32,204  e  Hoegh LNG Holdings Ltd   178 
 233,485     HollyFrontier Corp   15,977 
 1,697,000  *,e  Honghua Group Ltd   157 
 389,174  *  Hunting plc   3,979 
 804,319  *,e  Hurricane Energy plc   504 
 501,198  e  Husky Energy, Inc   7,812 
 180,250     Idemitsu Kosan Co Ltd   6,410 
 285,207     Imperial Oil Ltd   9,480 
 228,731  *  Independence Contract Drilling, Inc   942 
 1,563,404     Indian Oil Corp Ltd   3,571 
 1,383,200     Inner Mongolia Yitai Coal Co   1,880 
 1,138,942     Inpex Holdings, Inc   11,829 
 746,144     Inter Pipeline Ltd   13,985 
 235  *  International Petroleum Corp   2 
 33,992  *  International Seaways, Inc   787 
 16,415  *,e  ION Geophysical Corp   399 
 41,130  *  Ipek Matbacilik Sanayi Ve Ticaret AS   52 
 10,996,607     IRPC PCL (Foreign)   1,923 
 1,498  *,e  Isramco, Inc   184 
 224,153     Itochu Enex Co Ltd   2,185 
 96,876  *,e  Jagged Peak Energy, Inc   1,261 
 5,900  *,e  Japan Drilling Co Ltd   3 
 23,000     Japan Petroleum Exploration Co   600 
 14,221  *  Jerusalem Oil Exploration   722 
 68,332     John Wood Group plc   564 
 392,000  e  Jutal Offshore Oil Services Ltd   87 
 6,673,910     JX Holdings, Inc   46,302 
 124,744  *,e  Karoon Gas Australia Ltd   104 
 689,298  *,e  Keane Group, Inc   9,423 
 87,011  *  Kelt Exploration Ltd   591 
 57,938  *,e  Key Energy Services, Inc   941 
 444,378  e  Keyera Corp   12,365 
 60,357  g  Kinder Morgan Canada Ltd   730 
 2,129,038     Kinder Morgan, Inc   37,620 
 50,103     Koninklijke Vopak NV   2,309 
 462,809  *  Kosmos Energy LLC   3,827 
 100,049  *  Kvaerner ASA   211 
 381,241  *  Laredo Petroleum Holdings, Inc   3,668 
 21,535  *,e  Liberty Oilfield Services, Inc   403 
 195,735  *,e  Lilis Energy, Inc   1,018 
 7,134     Lubelski Wegiel Bogdanka S.A.   103 
 45,842     LUKOIL PJSC (ADR)   3,160 
 576,264     LUKOIL PJSC (ADR)   39,245 
 134,815     Lundin Petroleum AB   4,279 
 16,313  *,e  Mammoth Energy Services, Inc   554 
68

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,748,635     Marathon Oil Corp  $36,477 
 859,107     Marathon Petroleum Corp   60,275 
 2,817,048  *,e  Matador Resources Co   84,652 
 83,152  *  Matrix Service Co   1,526 
 322,317  *  McDermott International, Inc   6,334 
 5,067,480  *  MEG Energy Corp   42,247 
 95,751  *  Midstates Petroleum Co, Inc   1,303 
 202,200     Modec, Inc   5,596 
 1,034,221     MOL Hungarian Oil & Gas plc   9,952 
 35,005     Motor Oil Hellas Corinth Refineries S.A.   703 
 56,739  e  Mullen Group Ltd   669 
 283,605     Murphy Oil Corp   9,577 
 1,722,559     Nabors Industries Ltd   11,042 
 47,861     Naphtha Israel Petroleum Corp Ltd   280 
 952,738     National Oilwell Varco, Inc   41,349 
 17,913  *  Natural Gas Services Group, Inc   423 
 15,972  *,e  NCS Multistage Holdings, Inc   232 
 189,738     Neste Oil Oyj   14,845 
 347,090     New Zealand Refining Co Ltd   574 
 483,233  *  Newfield Exploration Co   14,618 
 23,758,000  *,e  Newocean Energy Holdings Ltd   4,845 
 297,937  *  Newpark Resources, Inc   3,233 
 183,550  *  NexGen Energy Ltd   339 
 11,728  *,e  NextDecade Corp   80 
 56,352  *  Nine Energy Service, Inc   1,866 
 375,329  *  Noble Corp plc   2,376 
 388,701     Noble Energy, Inc   13,713 
 209,128  e  Nordic American Tanker Shipping   560 
 54,167  *  Northern Drilling Ltd   507 
 166,723  *  Northern Oil And Gas, Inc   525 
 50,308  *,e  Nostrum Oil & Gas plc   128 
 118,135     NovaTek OAO (GDR)   17,462 
 8,375  *  Novatek PJSC (GDR)   1,242 
 444,222  *  NuVista Energy Ltd   3,082 
 550,330  *  Oasis Petroleum, Inc   7,138 
 256,602  *  Obsidian Energy Ltd   291 
 3,295,623     Occidental Petroleum Corp   275,778 
 82,771  *,e  Ocean Rig UDW, Inc   2,440 
 36,246     Ocean Yield ASA   316 
 306,901  e  Oceaneering International, Inc   7,814 
 285,086  *  Odfjell Drilling Ltd   1,178 
 417,200     Offshore Oil Engineering Co Ltd   330 
 882,100     Oil & Gas Development Co Ltd   1,130 
 6,757,086     Oil Refineries Ltd   2,844 
 1,218,035     Oil Search Ltd   8,002 
 116,768  *  Oil States International, Inc   3,748 
 226,423     OMV AG.   12,806 
 519,675     Oneok, Inc   36,289 
 390,899  *  Ophir Energy plc   260 
 1,641,842  *  Origin Energy Ltd   12,178 
 84,264  *  Overseas Shipholding Group, Inc   327 
 278,400  *  Pacific Ethanol, Inc   724 
 86,516  *,e  Painted Pony Energy Ltd   150 
69

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 73,900     Pakistan Oilfields Ltd  $409 
 141,817     Pakistan State Oil Co Ltd   372 
 32,010     Panhandle Oil and Gas, Inc (Class A)   611 
 184,658  *  Par Pacific Holdings, Inc   3,209 
 32,725  *,e  Paramount Resources Ltd (Class A)   371 
 809,551  *  Parex Resources, Inc   15,284 
 120,882     Parkland Fuel Corp   2,970 
 8,503,934  *  Parsley Energy, Inc   257,499 
 145,778     Pason Systems, Inc   2,386 
 325,422     Patterson-UTI Energy, Inc   5,858 
 5,938     Paz Oil Co Ltd   780 
 196,556     PBF Energy, Inc   8,242 
 116,281  *  PDC Energy, Inc   7,029 
 380,654     Peabody Energy Corp   17,312 
 313,068     Pembina Pipeline Income Fund   10,842 
 496,500  *,e  Pengrowth Energy Trust   355 
 19,082  *  Penn Virginia Corp   1,620 
 182,445     Petrofac Ltd   1,402 
 4,658,205     Petroleo Brasileiro S.A.   23,341 
 6,768,419     Petroleo Brasileiro S.A. (Preference)   30,020 
 1,762,216  *  Petroleum Geo-Services ASA   8,233 
 1,213,800     Petron   202 
 258,959     Petronas Dagangan BHD   1,591 
 654,884     Petronet LNG Ltd   2,100 
 95,523  e  Peyto Exploration & Development Corp   735 
 17,910  *  PHI, Inc   182 
 652,485     Phillips 66   73,281 
 472,987  *  Pioneer Energy Services Corp   2,767 
 547,408     Pioneer Natural Resources Co   103,591 
 3,407,112     Plains All American Pipeline LP   80,544 
 1,292,659     Plains GP Holdings LP   30,907 
 4,260,412     Polish Oil & Gas Co   6,486 
 419,736     Polski Koncern Naftowy Orlen S.A.   9,401 
 100,100  *,†,m  Poseidon Concepts Corp   1 
 56,673  e  PrairieSky Royalty Ltd   1,119 
 160,502  *  Precision Drilling Trust   531 
 788,820  *  Premier Oil plc   1,334 
 542,300     Prima Marine PCL   102 
 36,280  *,e  Profire Energy, Inc   123 
 107,374  *  ProPetro Holding Corp   1,684 
 15,628,900  *  PT Bumi Resources Tbk   245 
 2,820,000  *  PT Delta Dunia Petroindo Tbk   145 
 462,600     PT Harum Energy Indonesia Tbk   80 
 1,027,900     PT Indika Energy Tbk   245 
 2,192,200     PT Indo Tambangraya Megah   3,419 
 4,467,566  *  PT Medco Energi Internasional Tbk   300 
 24,876,600     PT Tambang Batubara Bukit Asam Tbk   6,871 
 5,404,706     PT United Tractors Tbk   11,901 
 1,496,221     PTT Exploration & Production PCL (Foreign)   6,334 
 9,443,450     PTT PCL (Foreign)   13,682 
 185,501     Qatar Gas Transport Co Ltd   805 
 576,000     QGEP Participacoes S.A.   2,199 
 533,275  *  Questar Market Resources, Inc   6,538 
 77,616  *,e  Quintana Energy Services, Inc   657 
70

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 151,011  *  Raging River Exploration, Inc  $655 
 432,380  e  Range Resources Corp   7,234 
 5,783,284     Reliance Industries Ltd   82,168 
 216,001  *,e  Renewable Energy Group, Inc   3,856 
 1,805,735     Repsol YPF S.A.   35,246 
 31,961  *,e  Resolute Energy Corp   997 
 8,489  *  Rex American Resources Corp   687 
 19,492  *  RigNet, Inc   201 
 86,291  *  Ring Energy, Inc   1,089 
 3,605  *,e  Rosehill Resources, Inc   29 
 978,795     Rosneft Oil Co (GDR)   6,065 
 108,397  *  Rosneft Oil Co PJSC (GDR)   674 
 326,066  *  Rowan Cos plc   5,289 
 8,750,594     Royal Dutch Shell plc (A Shares)   302,848 
 5,511,089     Royal Dutch Shell plc (B Shares)   197,369 
 198,014  e  RPC, Inc   2,885 
 1,662,384  *  RSP Permian, Inc   73,178 
 354,961  *  Saipem S.p.A   1,628 
 52,700     San-Ai Oil Co Ltd   649 
 110,853  *,e  Sanchez Energy Corp   501 
 225,193  *  SandRidge Energy, Inc   3,995 
 2,266,781  *  Santos Ltd   10,499 
 2,348,700  *  Sapurakencana Petroleum BHD   371 
 712,888     Saras S.p.A.   1,723 
 726,588     Sasol Ltd   26,424 
 101,394     SBM Offshore NV   1,572 
 4,183,895     Schlumberger Ltd   280,446 
 15,947  e  Schoeller-Bleckmann Oilfield Equipment AG.   1,914 
 445,693     Scorpio Tankers, Inc   1,252 
 73,307  *  SEACOR Holdings, Inc   4,198 
 40,778  *  SEACOR Marine Holdings, Inc   942 
 1,163  *,b,e  Seadrill Ltd (Oslo Exchange)   0^
 89,264  e  Secure Energy Services, Inc   493 
 68,471  *  Select Energy Services, Inc   995 
 120,224  e  SemGroup Corp   3,054 
 402,800     Serba Dinamik Holdings BHD   323 
 50  *,†,m  Serval Integrated Energy Services   0 
 880,005  *  Seven Generations Energy Ltd   9,699 
 310,355     Shaanxi Coal Industry Co Ltd   385 
 245,300     Shanxi Lu’an Environmental Energy Development Co Ltd   342 
 308,500  *  Shanxi Xishan Coal & Electricity Power Co Ltd   349 
 38,194     ShawCor Ltd   741 
 53,700     Shell Refining Co Federation Of Malaya BHD   83 
 96,200     Shinko Plantech Co Ltd   970 
 123,668  e  Ship Finance International Ltd   1,849 
 574,940     Showa Shell Sekiyu KK   8,566 
 486,200     Siamgas & Petrochemicals PCL   135 
 13,038  *  SilverBow Resources, Inc   377 
 21,500     Sinanen Co Ltd   542 
 802,000  e  Sinopec Kantons Holdings Ltd   378 
 64,363     SK Energy Co Ltd   11,658 
 7,808     SK Gas Co Ltd   658 
71

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 209,523     SM Energy Co  $5,383 
 32,388  *,e  Smart Sand, Inc   172 
 1,771,968     Snam Rete Gas S.p.A.   7,384 
 127,225     Soco International plc   162 
 47,672     S-Oil Corp   4,681 
 38,435  *,e  Solaris Oilfield Infrastructure, Inc   549 
 403,803  *,e  Sound Energy plc   213 
 1,503,616  *  Southwestern Energy Co   7,969 
 368,377  *  SRC Energy, Inc   4,059 
 2,431,343     Statoil ASA   64,291 
 501,036     Stobart Group Ltd   1,518 
 157,478     Subsea 7 S.A.   2,503 
 3,489,121     Suncor Energy, Inc   141,991 
 615,864  *  Superior Energy Services   5,998 
 125,202     Surge Energy, Inc   227 
 1,074,719     Surgutneftegaz (ADR)   4,769 
 322,189     Surgutneftegaz (ADR) (London)   1,440 
 72,415  *  Talos Energy, Inc   2,327 
 723,040  *  Tamarack Valley Energy Ltd   2,535 
 414,800     Targa Resources Investments, Inc   20,528 
 338,434     Tatneft PAO (ADR)   21,277 
 24,213  *  Tatneft PJSC (ADR)   1,552 
 1,308     TechnipFMC plc   42 
 612,188     TechnipFMC plc (Euro OTC)   19,431 
 18,868  e  Tecnicas Reunidas S.A.   606 
 102,944  e  Teekay Corp   798 
 326,125  e  Teekay Tankers Ltd (Class A)   382 
 122,383  *,e  Tellurian, Inc   1,018 
 68,560     Tenaris S.A.   1,251 
 184,411  *  Tetra Technologies, Inc   821 
 185,119     TGS Nopec Geophysical Co ASA   6,798 
 5,423,355     Thai Oil PCL (Foreign)   12,714 
 36,316  *,e  Tidewater, Inc   1,051 
 73,031     TMK OAO (GDR)   361 
 83,603     TORC Oil & Gas Ltd   467 
 14,647     TORM plc   115 
 48,223     Total Energy Services, Inc   426 
 2,933,650     Total S.A.   178,148 
 84,666  e  Tourmaline Oil Corp   1,513 
 16,000     Toyo Kanetsu K K   583 
 1,426,762  e  TransCanada Corp   61,731 
 1,124  *  Transocean Ltd   15 
 1,272,413  *,e  Transocean Ltd (NYSE)   17,101 
 170,698  *  Trican Well Service Ltd   388 
 160,841  *,e  Trinidad Drilling Ltd   229 
 2,373,457  *  Tullow Oil plc   7,637 
 121,435     Tupras Turkiye Petrol Rafine   2,862 
 333,694     Ultrapar Participacoes S.A.   3,956 
 1,921,462  *  UMW Oil & Gas Corp BHD   133 
 216,791  *  Unit Corp   5,541 
 215,585  *,e  Uranium Energy Corp   347 
 120,445  e  US Silica Holdings Inc   3,094 
 1,293,087     Valero Energy Corp   143,313 
 187,756  *,e  Vallourec SA   1,108 
72

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 94,749     Verbio AG.  $594 
 75,600  e  Vermilion Energy, Inc   2,726 
 1,447,506  *  W&T Offshore, Inc   10,350 
 236,962     Washington H Soul Pattinson & Co Ltd   3,623 
 4,798,216  *,e  Weatherford International Ltd   15,786 
 241,136  e  Whitecap Resources, Inc   1,634 
 2,694,337     Whitehaven Coal Ltd   11,501 
 261,835  *  Whiting Petroleum Corp   13,804 
 182,437  *  WildHorse Resource Development Corp   4,627 
 4,713,326     Williams Cos, Inc   127,778 
 752,000  *,e  Wison Engineering Services Co Ltd   125 
 1,239,726     Woodside Petroleum Ltd   32,489 
 259,703     World Fuel Services Corp   5,301 
 112,378     WorleyParsons Ltd   1,452 
 2,868,957  *  WPX Energy, Inc   51,727 
 1,989,066     Yanzhou Coal Mining Co Ltd   2,590 
 394,700     Yinson Holdings BHD   447 
 1,624,000  *,e  Yuan Heng Gas Holdings Ltd   161 
 211,324     Z Energy Ltd   1,083 
 81,751  *,e  Zion Oil & Gas, Inc   331 
       TOTAL ENERGY   8,020,922 
             
FOOD & STAPLES RETAILING - 1.0%     
 995,621     7-Eleven Malaysia Holdings BHD   364 
 440,934     Aeon Co Ltd   9,433 
 18,500     Ain Pharmaciez Inc   1,364 
 2,735     Al Meera Consumer Goods Co   114 
 779,320     Alimentation Couche Tard, Inc   33,855 
 766,319     Almacenes Exito S.A.   4,235 
 40,635     Andersons, Inc   1,390 
 174,944     Arcs Co Ltd   4,773 
 419,800     Atacadao Distribuicao Comercio e Industria Ltd   1,640 
 183,471  *,g  Avenue Supermarts Ltd   3,980 
 73,308     Axfood AB   1,407 
 31,000     Axial Retailing, Inc   1,178 
 21,000     Belc Co Ltd   1,110 
 1,140,400     Berli Jucker PCL   1,737 
 7,194     BGF retail Co Ltd   1,259 
 339,730     Bid Corp Ltd   6,803 
 191,688     BIM Birlesik Magazalar AS   2,799 
 765,688     Carrefour S.A.   12,351 
 78,771     Casey’s General Stores, Inc   8,277 
 9,387     Casino Guichard Perrachon S.A.   363 
 85,100     Cawachi Ltd   1,740 
 2,237,275     Centros Comerciales Sudamericanos S.A.   5,513 
 32,615  *,e  Chefs’ Warehouse Holdings, Inc   930 
 1,609,661     Cia Brasileira de Distribuicao Grupo Pao de Acucar   32,349 
 3,096     CJ Freshway Corp   90 
 348,132  e  Clicks Group Ltd   4,971 
 10,460     Cocokara Fine Holdings, Inc   643 
 16,489     Colruyt S.A.   941 
 102,200  †,b,m  Conviviality plc   102 
 5,717,000     Cosco Capital, Inc   651 
73

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 11,300     Cosmos Pharmaceutical Corp  $2,293 
 5,876,529     CP Seven Eleven PCL (Foreign)   12,904 
 82,600     Create SD Holdings Co Ltd   2,372 
 3,100     Daikokutenbussaan Co Ltd   145 
 219,600     Dairy Farm International Holdings Ltd   1,928 
 47,415  *,g  Dino Polska S.A.   1,309 
 246,030  g  Dis-Chem Pharmacies Ltd   469 
 316,427  e  Distribuidora Internacional de Alimentacion S.A.   919 
 41,363     Dongsuh Co, Inc   972 
 51,787     E-Mart Co Ltd   11,818 
 284,990     Empire Co Ltd   5,721 
 54,938     Eurocash S.A.   317 
 61,808     FamilyMart Co Ltd   6,509 
 5,500     Genky DrugStores Co Ltd   225 
 41,521  e  George Weston Ltd   3,388 
 109,700     Growell Holdings Co Ltd   5,833 
 217,500     Grupo Comercial Chedraui S.a. DE C.V.   505 
 29,976     GS Retail Co Ltd   1,183 
 12,600     Halows Co Ltd   309 
 127,300     Heiwado Co Ltd   3,171 
 28,425     Hyundai Greenfood Co Ltd   363 
 189,809  e  ICA Gruppen AB   5,807 
 20,913     Ingles Markets, Inc (Class A)   665 
 7,800     Itochu-Shokuhin Co Ltd   429 
 2,635,997     J Sainsbury plc   11,155 
 388,266     Jeronimo Martins SGPS S.A.   5,593 
 7,600     Kansai Super Market Ltd   84 
 50,400     Kato Sangyo Co Ltd   1,726 
 44,144     Kesko Oyj (B Shares)   2,696 
 18,100     Kobe Bussan Co Ltd   892 
 1,750,528     Koninklijke Ahold Delhaize NV   41,798 
 1,616,018     Kroger Co   45,976 
 23,000     Kusuri no Aoki Holdings Co Ltd   1,530 
 288,700  *,e  La Comer SAB de C.V.   302 
 64,080     Lawson, Inc   4,002 
 253,000  *  Lianhua Supermarket Holdings Co Ltd   74 
 10,400     Life Corp   258 
 179,320     Loblaw Cos Ltd   9,221 
 420,745     Magnit OAO (GDR)   7,540 
 28,589  *  Magnit PJSC (GDR)   515 
 31,205     Majestic Wine plc   198 
 71,853     MARR S.p.A.   1,890 
 70,717     Massmart Holdings Ltd   575 
 53,300     Matsumotokiyoshi Holdings Co Ltd   2,392 
 2,196,419  e  Metcash Ltd   4,236 
 515,798     Metro Wholesale & Food Specialist AG.   6,357 
 584,074     Metro, Inc   19,855 
 37,849  *  Migros Ticaret AS   169 
 7,400     Ministop Co Ltd   149 
 121,005  *,e  Natural Grocers by Vitamin C   1,542 
 43,400     Nihon Chouzai Co Ltd   1,150 
 3,300  *,e  Nishimoto Co Ltd   172 
 104,811  e  North West Co, Inc   2,338 
 40,000     Okuwa Co Ltd   419 
74

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 579,993  *  Performance Food Group Co  $21,286 
 1,301,116     Pick’n Pay Stores Ltd   7,093 
 604,822     President Chain Store Corp   6,854 
 33,677     Pricesmart, Inc   3,048 
 13,300     Qol Co Ltd   248 
 209,302     Raia Drogasil S.A.   3,586 
 20,656  e  Rallye S.A.   236 
 15,424     Rami Levi Chain Stores Hashikma Marketing 2006 Ltd   749 
 37,700  *  Retail Partners Co Ltd   570 
 2,074,371  *,e  Rite Aid Corp   3,589 
 515,620     Robinsons Retail Holdings, Inc   768 
 8,979     Ryoshoku Ltd   239 
 10,300     San-A Co Ltd   509 
 810,013     Seven & I Holdings Co Ltd   35,329 
 1,389,900     Sheng Siong Group Ltd   1,080 
 7,100  e  Shoei Foods Corp   249 
 607,633     Shoprite Holdings Ltd   9,740 
 70,602     Shufersal Ltd   434 
 36,466  *  Smart & Final Stores, Inc   202 
 1,440,686  *  SMU S.A.   424 
 10,000     Sogo Medical Co Ltd   209 
 5,184,973     Sonae SPGS S.A.   6,221 
 175,676     Spar Group Ltd   2,375 
 250,830     Spartan Stores, Inc   6,401 
 140,000     Springland International Holdings Ltd   37 
 131,041  *  Sprouts Farmers Market, Inc   2,892 
 22,300     Sugi Pharmacy Co Ltd   1,290 
 10,479,227     Sun Art Retail Group Ltd   13,671 
 84,176     Sundrug Co Ltd   3,410 
 56,991  *,e  SUPERVALU, Inc   1,169 
 523,344     Sysco Corp   35,739 
 361,000     Taiwan TEA Corp   177 
 41,131,682     Tesco plc   139,173 
 28,277     Tsuruha Holdings, Inc   3,542 
 201,671  *  United Natural Foods, Inc   8,603 
 144,850     United Super Markets Holdings, Inc   1,873 
 847,557  *  US Foods Holding Corp   32,055 
 29,600     Valor Co Ltd   674 
 11,731  e  Village Super Market (Class A)   346 
 1,503,726     Walgreens Boots Alliance, Inc   90,246 
 14,087,950  *  Wal-Mart de Mexico SAB de C.V.   37,142 
 3,706,094  n  Walmart, Inc   317,427 
 14,908     Weis Markets, Inc   795 
 1,032,056     Wesfarmers Ltd   37,656 
 1,037,399     WM Morrison Supermarkets plc   3,441 
 1,185,985     Woolworths Ltd   26,784 
 182,328     X 5 Retail Group NV (GDR)   4,815 
 6,600  e  Yakuodo Co Ltd   238 
 23,300     Yaoko Co Ltd   1,284 
 101,200  e  Yokohama Reito Co Ltd   922 
 222,400     Yonghui Superstores Co Ltd   257 
 5,854  *,e  Zur Rose Group AG.   766 
       TOTAL FOOD & STAPLES RETAILING   1,268,583 
75

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
FOOD, BEVERAGE & TOBACCO - 4.3%     
 179,376  *,e  22nd Century Group, Inc  $441 
 1,707,388  *,e  a2 Milk Co Ltd   13,224 
 129,504  e  AAK AB   2,055 
 60,086  *  Adecoagro S.A.   478 
 2,096  *  Agrana Beteiligungs AG.   216 
 15,154  e  AGT Food & Ingredients, Inc   177 
 271,693     Agthia Group PJSC   356 
 412,277     Ajinomoto Co, Inc   7,804 
 5,218     Alico, Inc   165 
 12,870  *,e  Alliance One International, Inc   204 
 3,875,893     Altria Group, Inc   220,112 
 6,341,374     AMBEV S.A.   29,418 
 180,461     Anadolu Efes Biracilik Ve Malt Sanayii AS   928 
 214,702     Anheuser-Busch InBev S.A.   21,656 
 532,759     Archer Daniels Midland Co   24,416 
 10,500     Ariake Japan Co Ltd   904 
 54,931  e  Aryzta AG.   822 
 333,469     Asahi Breweries Ltd   17,103 
 593,726     Associated British Foods plc   21,409 
 471,066     Astral Foods Ltd   9,802 
 5,256     Atria Group plc   64 
 180,198     Austevoll Seafood ASA   2,162 
 219,839  *,e  Australian Agricultural Co Ltd   204 
 32,359  *,m  Avanti Feeds Ltd   254 
 64,718  *  Avanti Feeds Ltd   509 
 218,681     AVI Ltd   1,725 
 100,436  e  B&G Foods, Inc (Class A)   3,003 
 119,410     Bakkafrost P   6,618 
 95,999  *,e,g  Bakkavor Group plc   244 
 3,898     Barry Callebaut AG.   6,985 
 248,588  e  Bega Cheese Ltd   1,360 
 144,900     Beijing Dabeinong Technology Group Co Ltd   90 
 2,540     Bell AG.   813 
 998,714     Bellamy’s Australia Ltd   11,463 
 923     Binggrae Co Ltd   50 
 112,000  *,e  Biostime International Holdings Ltd   772 
 17,229     Bonduelle S.C.A.   621 
 37,309  *  Boston Beer Co, Inc (Class A)   11,181 
 410,800     Boustead Plantations BHD   127 
 520,986  *  BRF S.A.   2,420 
 30,502     Britannia Industries Ltd   2,766 
 167,604     British American Tobacco Malaysia BHD   1,443 
 4,171,436     British American Tobacco plc   210,129 
 3,132     British American Tobacco plc (ADR)   158 
 1,653,550     Britvic plc   16,955 
 84,346     Brown-Forman Corp   4,121 
 202,679     Brown-Forman Corp (Class B)   9,933 
 503,900     Bumitama Agri Ltd   229 
 936,385     Bunge Ltd   65,275 
 255,974     C&C Group plc   968 
 24,365  e  Calavo Growers, Inc   2,343 
76

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 60,774     Calbee, Inc  $2,286 
 122,441  *  Cal-Maine Foods, Inc   5,614 
 98,900     Camil Alimentos S.A.   168 
 189,993  e  Campbell Soup Co   7,702 
 48,362     Carlsberg AS (Class B)   5,690 
 228,100     Carlsberg Brewery-Malay BHD   1,090 
 120,455  *,e  Castle Brands, Inc   143 
 37,553  *  CCL Products India Ltd   148 
 35,033  *,e  Celsius Holdings, Inc   161 
 722,100     Century Pacific Food, Inc   216 
 1,518,000     Charoen Pokphand Enterprise   2,993 
 3,044,226     Charoen Pokphand Foods PCL   2,224 
 2,240,000     China Agri-Industries Holdings Ltd   854 
 4,375,889  †,e,m  China Huishan Dairy Holdings Co Ltd   6 
 370,000  *,†,m  China Huiyuan Juice Group Ltd   48 
 2,734,946     China Mengniu Dairy Co Ltd   9,224 
 1,248,000  *  China Modern Dairy Holdings   234 
 1,493,164     China Resources Beer Holdings Company Ltd   7,231 
 4,169,000  *,e,g  China Shengmu Organic Milk Ltd   361 
 45,700     Chubu Shiryo Co Ltd   802 
 426,884     Cia Cervecerias Unidas S.A.   5,342 
 7,085     CJ CheilJedang Corp   2,243 
 149,892     Cloetta AB   454 
 473,701     Coca-Cola Amatil Ltd   3,222 
 7,008     Coca-Cola Bottling Co Consolidated   947 
 12,005,308  n  Coca-Cola Co   526,553 
 708,888     Coca-Cola European Partners plc (Class A)   28,809 
 751,427  e  Coca-Cola Femsa S.A. de C.V.   4,255 
 387,932     Coca-Cola HBC AG.   12,912 
 78,299     Coca-Cola Icecek AS   576 
 97,100     Coca-Cola West Japan Co Ltd   3,885 
 9,832,000     Cofco International Ltd   5,101 
 133,000  *  COFCO Meat Holdings Ltd   19 
 3,793,398     ConAgra Foods, Inc   135,538 
 326,010     Constellation Brands, Inc (Class A)   71,354 
 14,401     Corby Spirit and Wine Ltd   227 
 835,100     Costa Group Holdings Ltd   5,088 
 1,449,219     Costco Wholesale Corp   302,858 
 351,374     Cott Corp (Toronto)   5,821 
 18,973  *  Craft Brewers Alliance, Inc   392 
 85,625     Daesang Corp   2,041 
 50,467     Daesang Holdings Co Ltd   414 
 254,683  e  Dairy Crest Group plc   1,648 
 2,330,500  g  Dali Foods Group Co Ltd   1,793 
 1,164,802     Danone   85,045 
 249,311  *  Darling International, Inc   4,956 
 6,734,140     Davide Campari-Milano S.p.A   55,273 
 135,756     Dean Foods Co   1,427 
 5,139,537     Diageo plc   184,643 
 816     Dongwon F&B Co Ltd   216 
 6,899     Dongwon Industries Co Ltd   2,119 
 119,471  *  Dr Pepper Snapple Group, Inc   14,575 
 11,300     Dydo Drinco, Inc   671 
 1,214,000  *,†,e,m  Dynasty Fine Wines Group Ltd   2 
77

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 297,790     Eastern Tobacco  $3,005 
 498,105     Easy Bio, Inc   3,732 
 56,834     Ebro Puleva S.A.   1,325 
 291,627     Embotelladora Andina S.A.   1,131 
 427,401     Embotelladoras Arca SAB de C.V.   2,631 
 2,692     Emmi AG.   2,290 
 26,400     Ezaki Glico Co Ltd   1,268 
 15,212  *  Farmer Bros Co   465 
 11,949     Farmsco   135 
 62,800     Feed One Co Ltd   131 
 4,735,204     Felda Global Ventures Holdings BHD   1,769 
 773,507     Fevertree Drinks plc   34,482 
 330,400  e  First Resources Ltd   378 
 188,319     Flowers Foods, Inc   3,923 
 1,789,863     Fomento Economico Mexicano S.A. de C.V.   15,767 
 362,007  e  Fonterra Shareholders’ Fund   1,334 
 47,427     ForFarmers NV   616 
 22,500     Foshan Haitian Flavouring & Food Co Ltd   250 
 167,500     Fraser & Neave Holdings BHD   1,618 
 61,751  e  Freedom Foods Group Ltd   308 
 244,833     Fresh Del Monte Produce, Inc   10,907 
 64,270  *,e  Freshpet, Inc   1,764 
 44,073     Fuji Oil Co Ltd   1,584 
 9,232     Fujicco Co Ltd   236 
 48,300     Fujiya Co Ltd   1,104 
 316,939     Futuris Corp Ltd   1,984 
 859,154     General Mills, Inc   38,026 
 258,814     Genting Plantations BHD   605 
 359,000     GFPT PCL (Foreign)   130 
 121,476  e  Glanbia plc   2,256 
 8,146     Godfrey Phillips India Ltd   86 
 531,234  e  Golden Agri-Resources Ltd   119 
 233,861     GrainCorp Ltd-A   1,328 
 3,275,272     Great Wall Enterprise Co   4,369 
 413,836     Greencore Group plc   1,015 
 9,254     Greenyard Foods   133 
 317,159     Grieg Seafood ASA   3,335 
 353,835  e  Gruma SAB de C.V.   4,328 
 1,717,016     Grupo Bimbo S.A. de C.V. (Series A)   3,345 
 143,895  e  Grupo Herdez SAB de C.V.   303 
 105,977  *  Hain Celestial Group, Inc   3,158 
 6,102     Haitai Confectionery & Foods Co Ltd   70 
 62,227     Heineken Holding NV   5,951 
 806,061     Heineken NV   80,758 
 55,900     Henan Shuanghui Investment & Development Co Ltd   222 
 139,891     Hershey Co   13,018 
 12,600     Hokuto Corp   225 
 375,542  e  Hormel Foods Corp   13,974 
 149,508  *  Hostess Brands, Inc   2,033 
 28,117  e  Hotel Chocolat Group Ltd   147 
 43,352     House Foods Corp   1,535 
 450,700     Ichitan Group PCL   63 
78

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 264,849     Imperial Tobacco Group plc  $9,836 
 1,950,730     Indofood CBP Sukses Makmur Tbk   1,205 
 409,000  e  Industrias Bachoco SAB de C.V.   1,970 
 1,557,761  e  Inghams Group Ltd   4,397 
 86,266     Ingredion, Inc   9,550 
 85,900     Inner Mongolia Yili Industrial Group Co Ltd   361 
 1,644,697     IOI Corp BHD   1,851 
 6,698,438     ITC Ltd   26,030 
 31,300     Ito En Ltd   1,451 
 297,900     Itoham Yonekyu Holdings, Inc   2,563 
 27,338     J&J Snack Foods Corp   4,168 
 116,693     J.M. Smucker Co   12,542 
 1,124,121     Japan Tobacco, Inc   31,415 
 200,700  e  Japfa Ltd   93 
 906,697     JBS S.A.   2,176 
 358,825     Jeil Holdings Co Ltd   4,539 
 18,300     Jiangsu Yanghe Brewery Joint-Stock Co Ltd   362 
 20,549     Jinro Ltd   362 
 13,061     John B. Sanfilippo & Son, Inc   972 
 25,400     J-Oil Mills, Inc   912 
 191,587     Juhayna Food Industries   129 
 43,673     Kagome Co Ltd   1,452 
 6,400     Kameda Seika Co Ltd   342 
 18,847     Kaveri Seed Co Ltd   153 
 216,979     Kellogg Co   15,160 
 6,500  e  Kenko Mayonnaise Co Ltd   239 
 510,106     Kerry Group plc (Class A)   53,375 
 11,500     KEY Coffee, Inc   229 
 1,164,460     Khon Kaen Sugar Industry PCL   105 
 117,071     Kikkoman Corp   5,911 
 982,390     Kirin Brewery Co Ltd   26,333 
 44,556     Koninklijke Wessanen NV   935 
 15,100     Kotobuki Spirits Co Ltd   789 
 4,648,959  n  Kraft Heinz Co   292,048 
 77,839     KRBL Ltd   383 
 117,153     KT&G Corp   11,257 
 381,752     Kuala Lumpur Kepong BHD   2,283 
 9,700     Kweichow Moutai Co Ltd   1,068 
 1,244     KWS Saat AG.   441 
 24,855     La Doria S.p.A   306 
 566,218     Lamb Weston Holdings, Inc   38,792 
 28,772     Lancaster Colony Corp   3,983 
 39,409  *  Landec Corp   587 
 1,152,780     Leroy Seafood Group ASA   7,765 
 442,753     Lien Hwa Industrial Corp   548 
 18,029     Limoneira Co   444 
 2,013     Lindt & Spruengli AG.   13,047 
 21     Lindt & Spruengli AG. (Registered)   1,595 
 260     Lotte Chilsung Beverage Co Ltd   358 
 930     Lotte Confectionery Co Ltd   151 
 3,381     Lotte Samkang Co Ltd   2,585 
 27,800  *  Luzhou Laojiao Co Ltd   255 
 108,380     M Dias Branco S.A.   1,046 
 2,378     Maeil Dairies Co Ltd   190 
79

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 33,654     Manpasand Beverages Ltd  $73 
 48,211     Maple Leaf Foods, Inc   1,219 
 144,200  *  Marfrig Global Foods S.A.   303 
 62,000     Marudai Food Co Ltd   282 
 148,700     Maruha Nichiro Corp   5,988 
 201,296     McCormick & Co, Inc   23,368 
 114,800     Megmilk Snow Brand Co Ltd   3,067 
 112,001     MEIJI Holdings Co Ltd   9,459 
 20,011  e  MGP Ingredients, Inc   1,777 
 74,900     Minerva S.A.   121 
 25,800     Mitsui Sugar Co Ltd   800 
 352,409     Molson Coors Brewing Co (Class B)   23,978 
 6,977,748     Mondelez International, Inc   286,088 
 4,579,304  *  Monster Beverage Corp   262,394 
 26,560     Morinaga & Co Ltd   1,274 
 26,400     Morinaga Milk Industry Co Ltd   987 
 10,254     Muhak Co Ltd   139 
 19,500  *  Muyuan Foodstuff Co Ltd   131 
 12,000  e  Nagatanien Co Ltd   163 
 110,000     Namchow Chemical Industrial Ltd   219 
 48     Namyang Dairy Products Co Ltd   28 
 17,799  e  National Beverage Corp   1,903 
 24,678  *  Naturecell Co Ltd   339 
 2,827  *  Naturex   445 
 32,849     Nestle India Ltd   4,702 
 61,500     Nestle Malaysia BHD   2,244 
 2,093,721     Nestle S.A.   162,265 
 116,500  *  New Hope Liuhe Co Ltd   111 
 152,800     Nichirei Corp   3,892 
 5,900     Nippon Beet Sugar Manufacturing Co Ltd   128 
 109,400     Nippon Flour Mills Co Ltd   1,902 
 67,172     Nippon Meat Packers, Inc   2,715 
 698,013     Nippon Suisan Kaisha Ltd   3,439 
 71,200     Nisshin Oillio Group Ltd   2,137 
 159,813     Nisshin Seifun Group, Inc   3,386 
 42,338     Nissin Food Products Co Ltd   3,068 
 1,939     Nong Shim Co Ltd   566 
 1,229     Nong Shim Holdings Co Ltd   114 
 10,787     Norway Royal Salmon ASA   241 
 26,531     Oceana Group Ltd   153 
 130,904  e  Origin Enterprises plc   943 
 14,453     Orion Corp   357 
 21,666     Orion Corp/Republic of Korea   2,893 
 13,606     Orior AG.   1,171 
 156,378     Orkla ASA   1,368 
 1,397     Ottogi Corp   1,077 
 760,906  e  PAN Fish ASA   15,129 
 3,160,333     PepsiCo, Inc   344,065 
 34,067  e  Pernod-Ricard S.A.   5,560 
 5,762,990  n  Philip Morris International, Inc   465,304 
 152,557  *  Pilgrim’s Pride Corp   3,071 
 1,833,447  n  Pinnacle Foods, Inc   119,284 
 107,686  e  Pioneer Foods Ltd   878 
80

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 885,400  *,e  Post Holdings, Inc  $76,162 
 1,665,691     PPB Group BHD   8,115 
 425,260  *  Premier Foods plc   213 
 23,523  e  Premium Brands Holdings Corp   2,027 
 358,000     Prima Meat Packers Ltd   2,069 
 170,203  *  Primo Water Corp   2,977 
 5,692,200     PT Austindo Nusantara Jaya   451 
 6,904,600  *  PT BW Plantation Tbk   86 
 15,188,518     PT Charoen Pokphand Indonesia Tbk   3,898 
 430,311     PT Gudang Garam Tbk   2,016 
 9,807,600     PT Hanjaya Mandala Sampoerna Tbk   2,444 
 4,282,591     PT Indofood Sukses Makmur Tbk   1,987 
 21,189,900  *  PT Inti Agri Resources Tbk   414 
 9,859,600     PT Japfa Comfeed Indonesia Tbk   1,103 
 1,432,444     PT Nippon Indosari Corpindo Tbk   94 
 2,146,100     PT Perusahaan Perkebunan London Sumatra Indonesia Tbk   148 
 6,544,000     PT Salim Ivomas Pratama Tbk   224 
 2,310,700     PT Sawit Sumbermas Sarana Tbk   205 
 1,434,900     PT Tunas Baru Lampung Tbk   89 
 3,998     Pulmuone Co Ltd   486 
 61,400     Q.P. Corp   1,551 
 106,825     QAF Ltd   72 
 486,985     QL Resources BHD   723 
 35,966     Radico Khaitan Ltd   217 
 184,104     Remy Cointreau S.A.   23,835 
 12,000,000     RFM Corp   1,066 
 93,447  e  Rhodes Food Group Pty Ltd   125 
 17,700     Riken Vitamin Co Ltd   703 
 11,100     Rock Field Co Ltd   191 
 57,483  e  Rogers Sugar, Inc   232 
 8,600     Rokko Butter Co Ltd   182 
 170,017     Royal Unibrew A.S.   13,511 
 28,700     S Foods, Inc   1,128 
 1,893     Sajo Industries Co Ltd   108 
 16,355     Sakata Seed Corp   619 
 202,333     Salmar ASA   8,487 
 1,538     Samlip General Foods Co Ltd   181 
 2,178     Samyang Corp   160 
 2,046     Samyang Foods Co Ltd   195 
 10,315     Samyang Holdings Corp   1,104 
 31,061  e  Sanderson Farms, Inc   3,266 
 328,400     Sao Martinho S.A.   1,512 
 194,600     Sapporo Holdings Ltd   4,880 
 398,161     Saputo, Inc   13,220 
 27,098  e  Scandi Standard AB   173 
 38,134  g  Scandinavian Tobacco Group A.S.   576 
 7,470     Schouw & Co   658 
 651     Seaboard Corp   2,580 
 60,014     Select Harvests Ltd   306 
 11,466  *  Seneca Foods Corp   310 
 14,637  *  Shanxi Xinghuacun Fen Wine Factory Co Ltd   139 
 10,400     Showa Sangyo Co Ltd   272 
 8,269,260     Sime Darby Plantation BHD   10,877 
81

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 91,442  *  Simply Good Foods Co  $1,320 
 585,700     SLC Agricola S.A.   7,701 
 445,861     Standard Foods Corp   902 
 17,000     Starzen Co Ltd   896 
 149,748     Stock Spirits Group plc   451 
 27,067     Strauss Group Ltd   545 
 41,659     Suedzucker AG.   662 
 148,283     Suntory Beverage & Food Ltd   6,339 
 141,982     Swedish Match AB   7,017 
 544,852  *  Synlait Milk Ltd   4,217 
 529,900     Takara Holdings, Inc   7,006 
 293,100     Taokaenoi Food & Marketing PCL   130 
 106,764     Tassal Group Ltd   326 
 467,949     Tata Tea Ltd   1,839 
 349,196     Tate & Lyle plc   2,972 
 1,480,409     Thai Union Group PCL   706 
 2,958,200     Thai Vegetable Oil PCL (Foreign)   2,366 
 839,600     Thaifoods Group PCL   97 
 1,393,000  *  Tibet 5100 Water Resources Holdings Ltd   527 
 149,051  e  Tiger Brands Ltd   3,600 
 9,703,190     Tingyi Cayman Islands Holding Corp   22,509 
 69,561     Tongaat Hulett Ltd   406 
 63,000     Tongwei Co Ltd   65 
 25,327  e  Tootsie Roll Industries, Inc   781 
 65,836     Toyo Suisan Kaisha Ltd   2,349 
 556,178     Treasury Wine Estates Ltd   7,146 
 123,127  *  TreeHouse Foods, Inc   6,465 
 385,579  e  Tsingtao Brewery Co Ltd   2,113 
 11,800  *  Tsingtao Brewery Co Ltd (Class A)   78 
 79,000     Ttet Union Corp   245 
 27,399     Turning Point Brands, Inc   874 
 375,233     Tyson Foods, Inc (Class A)   25,835 
 354,152  *  Ulker Biskuvi Sanayi AS   1,387 
 1,202,000     Uni-President China Holdings Ltd   1,542 
 4,888,977     Uni-President Enterprises Corp   12,393 
 556,430  *  United Spirits Ltd   5,406 
 37,592     Universal Corp   2,483 
 771,464     Universal Robina   1,746 
 68,892     Varun Beverages Ltd   758 
 146,698  e  Vector Group Ltd   2,799 
 2,445  *  Venky’s India Ltd   84 
 173,215     Vina Concha y Toro S.A.   354 
 27,765  e  Viscofan S.A.   1,889 
 10,183,614     Want Want China Holdings Ltd   9,056 
 8,500     Warabeya Nichiyo Co Ltd   195 
 203,000  *  Wei Chuan Food Corp   160 
 7,203,426  g  WH Group Ltd   5,829 
 1,927,188  e  Wilmar International Ltd   4,322 
 42,500  *  Wuliangye Yibin Co Ltd   485 
 128,130     Yakult Honsha Co Ltd   8,567 
 159,332     Yamazaki Baking Co Ltd   4,178 
 679,000  *,e  Yashili International   154 
 240,000  e  Yihai International Holding Ltd   456 
82

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 5,552     Zydus Wellness Ltd  $109 
       TOTAL FOOD, BEVERAGE & TOBACCO   5,287,909 
             
HEALTH CARE EQUIPMENT & SERVICES - 4.9%     
 15,290  *,e  AAC Holdings, Inc   143 
 33,367     Abaxis, Inc   2,770 
 8,100,527     Abbott Laboratories   494,051 
 88,086  *  Abiomed, Inc   36,032 
 173,956  *,e  Acadia Healthcare Co, Inc   7,117 
 122,064  *  Accuray, Inc   501 
 46,043  *  Addus HomeCare Corp   2,636 
 636,600  e  Advanced Medical Solutions Group plc   2,752 
 697,071     Aetna Inc   127,913 
 321,720  *  AGFA-Gevaert NV   1,348 
 1,994,000  e,g  AK Medical Holdings Ltd   1,338 
 278,636     Alfresa Holdings Corp   6,543 
 5,510,659  *,e  Alibaba Health Information Technology Ltd   5,303 
 163,637  *  Align Technology, Inc   55,987 
 39,100  *  Alliar Medicos A Frente S.A.   132 
 274,898  *  Allscripts Healthcare Solutions, Inc   3,299 
 118,587     Ambu A.S.   3,989 
 66,665  *  Amedisys, Inc   5,697 
 19,551  *,e  American Renal Associates Holdings, Inc   308 
 743,197     AmerisourceBergen Corp   63,372 
 71,803  *  AMN Healthcare Services, Inc   4,208 
 334,259     Amplifon S.p.A.   6,912 
 129,336  *  Angiodynamics, Inc   2,876 
 21,194  *  Anika Therapeutics, Inc   678 
 253,963     Ansell Ltd   5,102 
 211,275  *,e  Antares Pharma, Inc   545 
 748,595     Anthem, Inc   178,188 
 105,797     Apollo Hospitals Enterprise Ltd   1,620 
 37,559  *,e  Apollo Medical Holdings, Inc   971 
 728,701     Arjo AB   2,599 
 10,200     As One Corp   707 
 82,000     Asahi Intecc Co Ltd   3,096 
 24,989     Ascom Holding AG.   452 
 71,120  *  athenahealth, Inc   11,318 
 78,165  *  AtriCure, Inc   2,114 
 7,481     Atrion Corp   4,484 
 61,122  g  Attendo AB   541 
 1,270,513     Australian Pharmaceutical Industries Ltd   1,597 
 71,394  *  Avanos Medical, Inc   4,087 
 50,628  *  AxoGen, Inc   2,544 
 760,850     Bangkok Chain Hospital PCL   351 
 5,251,645     Bangkok Dusit Medical Services PCL (Foreign)   3,958 
 1,757,868     Baxter International, Inc   129,801 
 323,832     Becton Dickinson & Co   77,577 
 2,838,000  *  Beijing Enterprises Medical & Health Group Ltd   148 
 19,670  *,e,g  Biocartis NV   280 
 4,127  e  BioMerieux   371 
 184,913  *,e  BioScrip, Inc   542 
 49,473  *  BioTelemetry, Inc   2,226 
 64,700     BML, Inc   1,665 
83

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 6,744  e  Boditech Med, Inc  $91 
 5,518,624  *  Boston Scientific Corp   180,459 
 1,006,589  *  Brookdale Senior Living, Inc   9,150 
 253,865     Bumrungrad Hospital PCL (Foreign)   1,276 
 73,016     Cantel Medical Corp   7,182 
 226,644  g  Capio AB   1,083 
 93,486  *  Capital Senior Living Corp   998 
 662,894     Cardinal Health, Inc   32,369 
 86,314  *,e  Cardiovascular Systems, Inc   2,791 
 89,661     Carl Zeiss Meditec AG.   6,118 
 119,982  *  Castlight Health, Inc   510 
 153     Celesio AG.   5 
 34,442  *,e  Celltrion Healthcare Co Ltd   3,417 
 622,095  *  Centene Corp   76,648 
 820,424  *  Cerner Corp   49,053 
 364,314  *  Cerus Corp   2,430 
 24,819     Chemed Corp   7,987 
 2,330,000  *  China Medical & HealthCare Group Ltd   74 
 1,187,500     China NT Pharma Group Co Ltd   270 
 1,764,000     China Pioneer Pharma Holdings Ltd   494 
 503,500     China Resources Phoenix Healthcare Holdings Co Ltd   615 
 3,136,400     Chularat Hospital PCL   197 
 921,467     Cigna Corp   156,603 
 186,997  *  Civitas Solutions, Inc   3,067 
 178,000  *  C-Mer Eye Care Holdings Ltd   185 
 120,189     Cochlear Ltd   17,794 
 167,509     Coloplast AS   16,725 
 145,781  *,e  Community Health Systems, Inc   484 
 13,076     CompuGroup Medical AG.   670 
 18,157  e  Computer Programs & Systems, Inc   597 
 38,395     Conmed Corp   2,811 
 972,511  g  ConvaTec Group plc   2,715 
 42,550     Cooper Cos, Inc   10,018 
 13,471  *  Corvel Corp   727 
 336,722  *  Cotiviti Holdings, Inc   14,860 
 51,895  *  Cross Country Healthcare, Inc   584 
 53,697  *  CryoLife, Inc   1,496 
 38,604  *,e  CryoPort, Inc   609 
 30,938  *  Cutera, Inc   1,247 
 86,372  e  CVS Group plc   1,297 
 3,950,197     CVS Health Corp   254,195 
 149,500  *,e  CYBERDYNE, Inc   1,748 
 43,829  *,e  CytoSorbents Corp   500 
 1,369,907     Danaher Corp   135,182 
 134,008  *  DaVita, Inc   9,306 
 4,066     Dentium Co Ltd   325 
 474,177  e  Dentsply Sirona, Inc   20,755 
 180,595  *,e  DexCom, Inc   17,153 
 170,201     DiaSorin S.p.A.   19,342 
 6,350  *,e  DIO Corp   205 
 152,004  *  Diplomat Pharmacy, Inc   3,885 
 9,938  g  Dr Lal PathLabs Ltd   139 
84

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 26,202     Draegerwerk AG.  $1,876 
 5,062     Draegerwerk AG. & Co KGaA   302 
 1,442,253  *  Edwards Lifesciences Corp   209,949 
 18,300     Eiken Chemical Co Ltd   389 
 46,711     El.En. S.p.A   1,521 
 412,144     Elekta AB (B Shares)   5,417 
 98,575     EMIS Group plc   1,158 
 437,351     Encompass Health Corp   29,617 
 123,008  *  Endologix, Inc   696 
 73,811     Ensign Group, Inc   2,644 
 171,009  *  Envision Healthcare Corp   7,526 
 180,975     Essilor International S.A.   25,517 
 1,183,999     Estia Health Ltd   2,881 
 102,330  *,e  Evolent Health, Inc   2,154 
 1,212,556  *  Express Scripts Holding Co   93,621 
 181,939     Extendicare, Inc   1,003 
 196,388     Fagron NV   3,349 
 433,992     Fisher & Paykel Healthcare Corp   4,373 
 187,800     Fleury S.A.   1,282 
 10,393  *  FONAR Corp   276 
 1,190,648  *  Fortis Healthcare Ltd   2,339 
 423,871     Fresenius Medical Care AG.   42,680 
 288,995     Fresenius SE   23,138 
 16,000     Fukuda Denshi Co Ltd   1,050 
 598,547  *,e  Genesis Health Care, Inc   1,371 
 78,395  *,e  GenMark Diagnostics, Inc   500 
 135,381     Getinge AB (B Shares)   1,229 
 29,000     Ginko International Co Ltd   236 
 50,013  *,e  Glaukos Corp   2,033 
 264,218  *  Globus Medical, Inc   13,332 
 580,742     GN Store Nord   26,387 
 564,000  e  Golden Meditech Holdings Ltd   62 
 25,300     Green Hospital Supply, Inc   953 
 10,816  e  Guerbet   723 
 282,940  *  Haemonetics Corp   25,374 
 5,117,200     Hartalega Holdings BHD   7,593 
 871,902     HCA Holdings, Inc   89,457 
 150,644  *  HealthEquity, Inc   11,313 
 331,936     Healthscope Ltd   542 
 106,773     HealthStream, Inc   2,916 
 24,994  *,e  Helius Medical Technologies, Inc   238 
 188,587  *  Henry Schein, Inc   13,699 
 25,746  *  Heska Corp   2,672 
 138,431     Hill-Rom Holdings, Inc   12,091 
 307,286  *  HMS Holdings Corp   6,644 
 13,400     Hogy Medical Co Ltd   600 
 310,167  *  Hologic, Inc   12,329 
 121,205     Hoya Corp   6,876 
 22,750     Huadong Medicine Co Ltd   165 
 43,588  e  Humana AB   295 
 672,902     Humana, Inc   200,276 
 2,739     Huons Global Co Ltd   146 
 38,230  *  ICU Medical, Inc   11,226 
 204,975  *  Idexx Laboratories, Inc   44,672 
85

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 2,422,742     IHH Healthcare BHD  $3,662 
 28,800  *,e  iKang Healthcare Group, Inc (ADR)   589 
 5,872     InBody Co Ltd   169 
 64,600  *  Inogen Inc   12,037 
 128,570  *,e  Inovalon Holdings, Inc   1,276 
 12,095  *,e  Inspire Medical Systems, Inc   431 
 36,700     Instituto Hermes Pardini S.A.   167 
 93,594  *  Insulet Corp   8,021 
 242,093  *  Integer Holding Corp   15,651 
 116,237  *  Integra LifeSciences Holdings Corp   7,487 
 3,924     Interojo Co Ltd   122 
 18,022  *  IntriCon Corp   726 
 539,153  *  Intuitive Surgical, Inc   257,974 
 48,357     Invacare Corp   899 
 12,679  e  Ion Beam Applications   338 
 5,370  *  iRadimed Corp   111 
 118,086  *,e  iRhythm Technologies, Inc   9,580 
 5,054     i-SENS Inc   102 
 75,800  e  Japan Lifeline Co Ltd   1,858 
 720,369  e  Japara Healthcare Ltd   961 
 253,000     Jeol Ltd   2,601 
 36,500     Jointown Pharmaceutical Group Co Ltd   93 
 63,674  *  K2M Group Holdings, Inc   1,433 
 333,072  *  Kindred Healthcare, Inc   2,998 
 1,436,048     Koninklijke Philips Electronics NV   60,842 
 130,175     Korian-Medica   4,388 
 565,800     Kossan Rubber Industries   1,182 
 1,320,292     KPJ Healthcare BHD   333 
 145,736  *  Laboratory Corp of America Holdings   26,164 
 198,719  *  Lantheus Holdings, Inc   2,891 
 12,567     Le Noble Age   791 
 59,944     LeMaitre Vascular, Inc   2,007 
 68,548  *  LHC Group, Inc   5,867 
 1,226,235  e  Life Healthcare Group Holdings Pte Ltd   2,224 
 63,335  *  LifePoint Hospitals, Inc   3,091 
 1,336,000  *,e  Lifetech Scientific Corp   421 
 73,845  *  LivaNova plc   7,371 
 10,792     Lutronic Corp   138 
 49,634     M3, Inc   1,974 
 75,870  *  Magellan Health Services, Inc   7,280 
 40,200     Mani, Inc   1,806 
 91,263  *  Masimo Corp   8,912 
 27,709  *  Mazor Robotics Ltd   763 
 506,312     McKesson Corp   67,542 
 11,900  *,e  Medical Data Vision Co Ltd   169 
 233,479  e  Medical Facilities Corp   2,481 
 7,673     Medicare Group   133 
 427,101     Mediceo Paltac Holdings Co Ltd   8,579 
 305,262  e  Mediclinic International plc   2,115 
 87,622  *  Medidata Solutions, Inc   7,059 
 4,495  *  Medipost Co Ltd   367 
 133,564  *  MEDNAX, Inc   5,781 
 3,041,105     Medtronic plc   260,349 
86

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 49,440     Meinian Onehealth Healthcare Holdings Co Ltd  $168 
 12,800     Menicon Co Ltd   343 
 79,236     Meridian Bioscience, Inc   1,260 
 74,784  *  Merit Medical Systems, Inc   3,829 
 627,729     Metlifecare Ltd   2,661 
 80,900     Microlife Corp   227 
 214,832     Microport Scientific Corp   259 
 32,200     Miraca Holdings, Inc   958 
 606,984  *  Molina Healthcare, Inc   59,448 
 13,636     Nagaileben Co Ltd   346 
 117,500     Nakanishi, Inc   2,665 
 159,410  *  Nanosonics Ltd   372 
 29,349  *,e  NantHealth, Inc   97 
 56,442     National Healthcare Corp   3,972 
 18,882     National Research Corp   706 
 48,749  *  Natus Medical, Inc   1,682 
 76,185  *  Neogen Corp   6,109 
 1,109,847  e  Network Healthcare Holdings Ltd   2,225 
 1,458     Neuca S.A.   106 
 44,218  *,e  Nevro Corp   3,531 
 108,100     Nichii Gakkan Co   1,225 
 47,300     Nihon Kohden Corp   1,316 
 37,267     Nikkiso Co Ltd   377 
 417,400     Nipro Corp   4,816 
 325,341  *  NMC Health plc   15,313 
 29,246  e,g  NNIT A.S.   728 
 340,151  *  Novocure Ltd   10,647 
 78,288  *  NuVasive, Inc   4,080 
 21,473  *  Nuvectra Corp   441 
 138,800  *  NxStage Medical, Inc   3,873 
 866,470     Odontoprev S.A.   2,922 
 224,268     Olympus Corp   8,389 
 58,315  *  Omnicell, Inc   3,059 
 303,309  *  OraSure Technologies, Inc   4,996 
 84,587     Oriola-KD Oyj (B Shares)   302 
 26,543     Orpea   3,536 
 64,879  *  Orthofix International NV   3,686 
 10,599  *,e  OrthoPediatrics Corp   282 
 6,543  *  Osstem Implant Co Ltd   299 
 90,153     Owens & Minor, Inc   1,506 
 90,659  *  Oxford Immunotec Global plc   1,169 
 48,600     Paramount Bed Holdings Co Ltd   2,083 
 158,040  e  Patterson Cos, Inc   3,583 
 67,888  *  Penumbra, Inc   9,379 
 15,530  *,e  PetIQ, Inc   417 
 29,780     Phonak Holding AG.   5,327 
 79,000  *,†,m  Pihsiang Machinery Manufacturing Co Ltd   45 
 441,109  *  Premier, Inc   16,048 
 873,478     Primary Health Care Ltd   2,252 
 19,607     Pro Medicus Ltd   116 
 121,590  *  Providence Service Corp   9,551 
 22,000,000  *  PT Modern Internasional Tbk   77 
 492,762  *  PT Siloam International Hospitals Tbk   180 
 14,293  *,e  Pulse Biosciences, Inc   216 
87

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 170,700     Qualicorp S.A.  $813 
 110,502  *  Quality Systems, Inc   2,155 
 196,046     Quest Diagnostics, Inc   21,553 
 66,925  *  Quidel Corp   4,451 
 43,714  *,e  Quorum Health Corp   219 
 495,467  *  R1 RCM, Inc   4,301 
 218,694  *  RadNet, Inc   3,280 
 483,584  e  Raffles Medical Group Ltd   358 
 66,934     Ramsay Health Care Ltd   2,673 
 11,712  *,e  RaySearch Laboratories AB   137 
 83,761     Regis Healthcare Ltd   203 
 7,957,500  e  Religare Health Trust   4,526 
 209,806     Resmed, Inc   21,732 
 12,326     Rhoen Klinikum AG.   360 
 283,000  *,g  Rici Healthcare Holdings Ltd   71 
 195,000     Rion Co Ltd   4,126 
 83,960  *,e  Rockwell Medical, Inc   414 
 84,738  *  RTI Biologics, Inc   390 
 322,644     Ryman Healthcare Ltd   2,613 
 25,508     Sartorius AG.   3,797 
 19,332  e  Sartorius Stedim Biotech   2,017 
 17,817  *,e  SeaSpine Holdings Corp   225 
 7,200  *  Seed Co Ltd   149 
 1,226,518     Selcuk Ecza Deposu Ticaret ve Sanayi AS   1,026 
 165,305  *  Select Medical Holdings Corp   3,000 
 102,697  *,e  Senseonics Holdings, Inc   422 
 1,748,415     Shandong Weigao Group Medical Polymer Co Ltd   1,234 
 35,900  *  Shanghai Pharmaceuticals Holding Co Ltd   129 
 769,340     Shanghai Pharmaceuticals Holding Co Ltd   2,117 
 375,302  *,g  Siemens Healthineers AG.   15,466 
 37,728  e  Sienna Senior Living, Inc   476 
 34,752  *,e  Sientra, Inc   678 
 588,538     Sigma Healthcare Ltd   353 
 17,187     Simulations Plus, Inc   382 
 1,023,871     Sinopharm Group Co   4,117 
 608,323     Smith & Nephew plc   11,206 
 27,000     Solasto Corp   301 
 557,689     Sonic Healthcare Ltd   10,117 
 196,533  g  Spire Healthcare Group plc   648 
 33,000     St. Shine Optical Co Ltd   753 
 173,969  *  Staar Surgical Co   5,393 
 202,331     STERIS Plc   21,247 
 9,497     STRATEC Biomedical AG.   741 
 8,879     Straumann Holding AG.   6,734 
 1,361,861     Stryker Corp   229,964 
 473,822     Summerset Group Holdings Ltd   2,454 
 5,603,700     Supermax Corp BHD   5,782 
 30,798  *,e  Surgery Partners, Inc   459 
 62,753  *  SurModics, Inc   3,464 
 104,582     Suzuken Co Ltd   4,423 
 56,742     Sysmex Corp   5,287 
 26,239  *  Tabula Rasa HealthCare, Inc   1,675 
 26,238  *,e  Tactile Systems Technology, Inc   1,364 
88

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 67,648  *,e  Tandem Diabetes Care, Inc  $1,490 
 187,823  *,e  Teladoc, Inc   10,903 
 18,037     Teleflex, Inc   4,838 
 198,730  *  Tenet Healthcare Corp   6,671 
 185,376     Terumo Corp   10,612 
 184,300     Thonburi Healthcare Group PCL   174 
 100,779  *  Tivity Health, Inc   3,547 
 292,200  e  Toho Pharmaceutical Co Ltd   7,123 
 10,000     Tokai Corp (GIFU)   215 
 788,900     Top Glove Corp BHD   2,365 
 2,414,000  †,e,m  Town Health International Medical Group Ltd   3 
 236,486  *,e  TransEnterix, Inc   1,031 
 319,440  *  Triple-S Management Corp (Class B)   12,477 
 30,200     Tsuki Corp   272 
 531,546     United Drug plc   5,777 
 2,809,942     UnitedHealth Group, Inc   689,391 
 296,454     Universal Health Services, Inc (Class B)   33,037 
 3,305,500  e,g  Universal Medical Financial & Technical Advisory Services Co Ltd   2,626 
 18,887     US Physical Therapy, Inc   1,813 
 4,969     Utah Medical Products, Inc   547 
 4,119     Value Added Technologies Co Ltd   124 
 62,112  *  Varex Imaging Corp   2,304 
 174,785  *  Varian Medical Systems, Inc   19,877 
 508,327  *  Veeva Systems, Inc   39,070 
 3,485,500     Vibhavadi Medical Center PCL (Foreign)   232 
 3,966     Vieworks Co Ltd   108 
 77,038  *,e  ViewRay, Inc   533 
 264,544     Virtus Health Ltd   1,126 
 139,300     VITAL KSK Holdings, Inc   1,451 
 44,499  *  Vocera Communications, Inc   1,330 
 469,513  *  WellCare Health Plans, Inc   115,613 
 9,900  g  Wenzhou Kangning Hospital Co Ltd   49 
 60,799     West Pharmaceutical Services, Inc   6,037 
 162,955  *,e  William Demant Holding A.S.   6,540 
 160,620  *,e  Wright Medical Group NV   4,170 
 2,059  e  Ypsomed Holding AG.   300 
 1,945,660     Zimmer Biomet Holdings, Inc   216,824 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES   5,980,019 
             
HOUSEHOLD & PERSONAL PRODUCTS - 1.4%     
 5,719  e  Able C&C Co Ltd   78 
 31,371     Amorepacific Corp   9,081 
 9,478     Amorepacific Corp (Preference)   1,317 
 193,344     Asaleo Care Ltd   199 
 1,351  *  Avon Products, Inc   2 
 52,115     Bajaj Corp Ltd   308 
 352,777     Beiersdorf AG.   39,987 
 1,099,000  e  Best World International Ltd   998 
 7,578  e  Blackmores Ltd   797 
 135,758  e  BWX Ltd   572 
 77,194  *  Central Garden & Pet Co   3,356 
 172,124  *  Central Garden and Pet Co (Class A)   6,966 
 27,000     Chlitina Holding Ltd   262 
89

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 170,019     Church & Dwight Co, Inc  $9,038 
 2,888     CLIO Cosmetics Co Ltd   74 
 151,134     Clorox Co   20,441 
 1,702,716     Colgate-Palmolive Co   110,353 
 2,156     Cosmax BTI, Inc   61 
 4,660     Cosmax, Inc   679 
 472,553     Coty, Inc   6,663 
 583,251     Dabur India Ltd   3,333 
 51,800     Do Day Dream PCL   94 
 33,700     Dr Ci:Labo Co Ltd   1,601 
 7,700     Earth Chemical Co Ltd   392 
 195,945  *  Edgewell Personal Care Co   9,887 
 126,221     EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS   93 
 33,704  *,e  elf Beauty, Inc   514 
 159,558     Energizer Holdings, Inc   10,046 
 576,930     Essity AB   14,193 
 1,395,399     Estee Lauder Cos (Class A)   199,109 
 34,800  *,e  Euglena Co Ltd   261 
 21,175  *  Eveready Industries India Ltd   70 
 21,000     Fancl Corp   1,051 
 8,975     Gillette India Ltd   841 
 285,570     Godrej Consumer Products Ltd   5,109 
 75,000     Grape King Industrial Co   565 
 2,448,947     Hengan International Group Co Ltd   23,490 
 29,187     Henkel KGaA   3,241 
 33,206     Henkel KGaA (Preference)   4,237 
 476,703  *  Herbalife Ltd   25,608 
 959,177     Hindustan Lever Ltd   22,973 
 189,652  *  HRG Group, Inc   2,483 
 22,250     Inter Parfums S.A.   937 
 39,038     Inter Parfums, Inc   2,089 
 4,960     It’s Skin Co Ltd   237 
 22,296     Jamieson Wellness, Inc   451 
 11,351  *,e  Jayjun Cosmetic Co Ltd   226 
 49,165     Jyothy Laboratories Ltd   169 
 49,165  *,m  Jyothy Laboratories Ltd   169 
 450,007     Kao Corp   34,300 
 283,879     Kimberly-Clark Corp   29,904 
 1,344,316  e  Kimberly-Clark de Mexico S.A. de C.V. (Class A)   2,271 
 41,800  *,e  Kitanotatsujin Corp   299 
 79,800     Kobayashi Pharmaceutical Co Ltd   6,888 
 7,367     Kolmar BNH Co Ltd   179 
 8,364     Korea Kolmar Co Ltd   634 
 4,618     Korea Kolmar Holdings Co Ltd   186 
 42,200     Kose Corp   9,077 
 14,028     LG Household & Health Care Ltd   17,578 
 2,177     LG Household & Health Care Ltd (Preference)   1,426 
 355,100     Lion Corp   6,498 
 472,203     L’Oreal S.A.   116,411 
 22,658     Mandom Corp   705 
 760,238     Marico Ltd   3,681 
 120,739     Medifast, Inc   19,338 
90

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 172,924  *  Microbio Co Ltd  $115 
 16,200     Milbon Co Ltd   725 
 574,998     Natura Cosmeticos S.A.   4,491 
 9,897  e  Natural Health Trends Corp   248 
 18,729  *  Nature’s Sunshine Products, Inc   175 
 9,000     Noevir Holdings Co Ltd   648 
 166,885     Nu Skin Enterprises, Inc (Class A)   13,049 
 5,786  *,e  NUTRIBIOTECH Co Ltd   110 
 920,000     NVC Lighting Holdings Ltd   77 
 7,327     Oil-Dri Corp of America   309 
 43,438  e  Ontex Group NV   952 
 24,833  *  Oriflame Holding AG.   797 
 23,080     Pacific Corp   2,558 
 161,000     Pigeon Corp   7,824 
 275,605     Pola Orbis Holdings, Inc   12,112 
 5,866,424  n  Procter & Gamble Co   457,933 
 7,181,300     PT Industri Jamu Dan Farmasi Sido Muncul Tbk   391 
 1,318,429     PT Unilever Indonesia Tbk   4,237 
 168,214  e  PZ Cussons plc   499 
 613,137     Reckitt Benckiser Group plc   50,378 
 17,275  *,e  Revlon, Inc (Class A)   303 
 24,126     Sarantis S.A.   208 
 519,091     Shiseido Co Ltd   41,193 
 18,829  e  Spectrum Brands, Inc   1,537 
 6,800  e  ST Corp   203 
 42,616     TCI Co Ltd   657 
 3,764  e  Tonymoly Co Ltd   53 
 398,136     Uni-Charm Corp   11,970 
 2,552,995     Unilever NV   142,245 
 1,654,376     Unilever plc   91,388 
 122,930  *  USANA Health Sciences, Inc   14,174 
 137,000     Vinda International Holdings Ltd   237 
 20,667     WD-40 Co   3,023 
 19,200  e  YA-MAN Ltd   321 
       TOTAL HOUSEHOLD & PERSONAL PRODUCTS   1,659,216 
               
INSURANCE - 3.8%     
 158,370     Admiral Group plc   3,980 
 2,309,456     Aegon NV   13,789 
 536,935     Aflac, Inc   23,099 
 35,537     Ageas   1,789 
 13,343,206     AIA Group Ltd   116,238 
 87,361     Alleghany Corp   50,230 
 613,191     Allianz AG.   126,351 
 853,037     Allstate Corp   77,857 
 346,208     Alm Brand AS   3,393 
 67,734  *  AMBAC Financial Group, Inc   1,345 
 363,669     American Equity Investment Life Holding Co   13,092 
 100,814     American Financial Group, Inc   10,820 
 7,702,427     American International Group, Inc   408,383 
 5,668     American National Insurance Co   678 
 28,729     Amerisafe, Inc   1,659 
 168,121  e  Amtrust Financial Services, Inc   2,450 
 53,717     Anadolu Hayat Emeklilik AS   101 
91

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 114,102     Anadolu Sigorta  $106 
 9,100     Anicom Holdings, Inc   342 
 54,852     Aon plc   7,524 
 435,382  *  Arch Capital Group Ltd   11,520 
 706,394     Argo Group International Holdings Ltd   41,077 
 77,685     Arthur J. Gallagher & Co   5,071 
 559,648     Aspen Insurance Holdings Ltd   22,778 
 339,886     ASR Nederland NV   13,840 
 662,768     Assicurazioni Generali S.p.A.   11,080 
 57,236     Assurant, Inc   5,923 
 70,206     Assured Guaranty Ltd   2,508 
 4,334,194  *  Athene Holding Ltd   190,011 
 6,759,466     Aviva plc   44,850 
 15,619     AvivaSA Emeklilik ve Hayat AS.   50 
 2,244,866     AXA S.A.   54,851 
 894,795     Axis Capital Holdings Ltd   49,768 
 33,798     Bajaj Finserv Ltd   2,876 
 13,324     Baldwin & Lyons, Inc (Class B)   325 
 26,672     Baloise Holding AG.   3,869 
 613,174     BB Seguridade Participacoes S.A.   3,870 
 358,662     Beazley plc   2,764 
 4,448,253  *  Berkshire Hathaway, Inc (Class B)   830,266 
 49,468  *  Brighthouse Financial, Inc   1,982 
 376,792     Brown & Brown, Inc   10,448 
 14,124,816     Cathay Financial Holding Co Ltd   24,879 
 34,312     Chesnara plc   164 
 1,805,894     China Insurance International Holdings Co Ltd   5,615 
 13,513,690     China Life Insurance Co Ltd   34,669 
 1,997,805     China Life Insurance Co Ltd (Taiwan)   2,101 
 3,678,739     China Pacific Insurance Group Co Ltd   14,171 
 37,300     China Pacific Insurance Group Co Ltd   179 
 6,255,000     China Reinsurance Group Corp   1,369 
 2,093,017     Chubb Ltd   265,855 
 77,997     Cincinnati Financial Corp   5,215 
 75,063  *,e  Citizens, Inc (Class A)   585 
 47,069  *  Clal Insurance   658 
 73,118     CNA Financial Corp   3,340 
 131,619     CNP Assurances   2,990 
 527,182     Conseco, Inc   10,038 
 3,630,000  *,†,e,m  Convoy Financial Holdings Ltd   58 
 479,131     Corp Mapfre S.A.   1,440 
 43,098     Crawford & Co (Class B)   373 
 2,446,507     Dai-ichi Mutual Life Insurance Co   43,542 
 1,530,561     Direct Line Insurance Group plc   6,907 
 301,949     Discovery Holdings Ltd   3,241 
 27,346     Donegal Group, Inc (Class A)   372 
 142,057     Dongbu Insurance Co Ltd   7,523 
 28,335  *  eHealth, Inc   626 
 13,037     EMC Insurance Group, Inc   362 
 233,628     Employers Holdings, Inc   9,392 
 18,279  *  Enstar Group Ltd   3,789 
 24,077     Erie Indemnity Co (Class A)   2,823 
 774,102     esure Group plc   2,214 
92

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 37,635     Everest Re Group Ltd  $8,674 
 42,394     Fairfax Financial Holdings Ltd   23,755 
 30,200  e  Fanhua, Inc (ADR)   861 
 15,132     FBL Financial Group, Inc (Class A)   1,192 
 39,578  *  FedNat Holding Co   913 
 411,667     First American Financial Corp   21,291 
 600,286     FNF Group   22,583 
 5,229  e  Fondiaria-Sai S.p.A   12 
 1,135,374  *  Genworth Financial, Inc (Class A)   5,109 
 148,100     Gjensidige Forsikring BA   2,425 
 12,308     Global Indemnity Ltd   480 
 15,064  *,e  Goosehead Insurance, Inc   376 
 226,637     Great-West Lifeco, Inc   5,572 
 48,195  *  Greenlight Capital Re Ltd (Class A)   684 
 78,177     Grupo Catalana Occidente S.A.   3,476 
 36,896  *  Hallmark Financial Services   368 
 61,332     Hannover Rueckversicherung AG.   7,625 
 37,376     Hanover Insurance Group, Inc   4,469 
 157,718     Hanwha Non-Life Insurance Co Ltd   924 
 588,939     Harel Insurance Investments & Finances Ltd   4,422 
 1,564,318     Hartford Financial Services Group, Inc   79,984 
 634,754  g  Hastings Group Holdings Ltd   2,127 
 11,782     HCI Group, Inc   490 
 16,699  *  Health Insurance Innovations, Inc   540 
 4,652     Helvetia Holding AG.   2,654 
 32,301  e  Heritage Insurance Holdings, Inc   538 
 168,247     Hiscox Ltd   3,377 
 62,013     Horace Mann Educators Corp   2,766 
 230,098     Hyundai Marine & Fire Insurance Co Ltd   6,968 
 4,383     IDI Insurance Co Ltd   263 
 8,642     Independence Holding Co   287 
 62,729     Industrial Alliance Insurance and Financial Services, Inc   2,422 
 39,845     Infinity Property & Casualty Corp   5,672 
 243,014  g  ING Life Insurance Korea Ltd   9,123 
 2,456,712     Insurance Australia Group Ltd   15,499 
 154,804     Intact Financial Corp   10,980 
 2,326     Investors Title Co   430 
 101,000     IRB Brasil Resseguros S   1,260 
 115,094     James River Group Holdings Ltd   4,522 
 498,200     Japan Post Holdings Co Ltd   5,452 
 1,800  e  Japan Post Insurance Co Ltd   37 
 838,702     Just Retirement Group plc   1,494 
 60,642     Kemper Corp   4,588 
 14,258     Kingstone Cos, Inc   241 
 29,550     Kinsale Capital Group, Inc   1,621 
 1,730,993     Korea Life Insurance Co Ltd   8,228 
 61,884     Korean Reinsurance Co   657 
 112,542     Lancashire Holdings Ltd   841 
 10,768,714     Legal & General Group plc   37,667 
 696,089     Liberty Holdings Ltd   5,903 
 726,997     Lincoln National Corp   45,256 
 160,093     Loews Corp   7,729 
 23,637     Lotte Non-Life Insurance Co Ltd   60 
93

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 105,914     Maiden Holdings Ltd  $821 
 324,688     Manulife Financial Corp   5,835 
 2,931,468     Manulife Financial Corp (Toronto)   52,669 
 5,868  *  Markel Corp   6,363 
 1,675,533     Marsh & McLennan Cos, Inc   137,343 
 113,243     Max India Ltd   716 
 183,079  *  Max India Ltd (New)   195 
 133,378  *,e  MBIA, Inc   1,206 
 2,826,018     Medibank Pvt Ltd   6,102 
 56,298     Menorah Mivtachim Holdings Ltd   607 
 1,019,444     Mercuries & Associates Holding Ltd   810 
 418,549  *  Mercuries Life Insurance Co Lt   224 
 18,996     Mercury General Corp   865 
 303,445     Meritz Fire & Marine Insurance Co Ltd   5,226 
 2,814,259     Metlife, Inc   122,702 
 833,456     Metropolitan Holdings Ltd   1,074 
 178,264     Migdal Insurance Holdings Ltd   154 
 395,131     Mirae Asset Life Insurance Co Ltd   1,968 
 355,083     Mitsui Sumitomo Insurance Group Holdings, Inc   11,028 
 43,720     Muenchener Rueckver AG.   9,192 
 142,240     National General Holdings Corp   3,745 
 3,399     National Western Life Group, Inc   1,044 
 45,889     Navigators Group, Inc   2,616 
 698,782     New China Life insurance Co Ltd   2,895 
 8,900  *  New China Life Insurance Co Ltd   57 
 16,915  *  NI Holdings, Inc   287 
 289,723     nib holdings Ltd   1,227 
 1,642,882     NKSJ Holdings, Inc   66,290 
 269,280     NN Group NV   10,921 
 1,023,378  *,e  Old Mutual Ltd   2,023 
 3,500,000  *  Old Mutual Ltd   7,091 
 184,763     Old Republic International Corp   3,679 
 7,644,288     People’s Insurance Co Group of China Ltd   3,578 
 219,832     Phoenix Group Holdings   1,958 
 70,282     Phoenix Holdings Ltd   368 
 7,715,739     PICC Property & Casualty Co Ltd   8,298 
 12,945,326  e  Ping An Insurance Group Co of China Ltd   118,549 
 71,300     Ping An Insurance Group Co of China Ltd (Class A)   628 
 96,274     Porto Seguro S.A.   1,010 
 765,552  g  Poste Italiane S.p.A   6,390 
 607,528     Power Corp Of Canada   13,605 
 802,710     Power Financial Corp   18,776 
 572,007     Powszechny Zaklad Ubezpieczen S.A.   5,930 
 128,513     Primerica, Inc   12,800 
 387,745     Principal Financial Group   20,531 
 212,415     ProAssurance Corp   7,530 
 1,260,479     Progressive Corp   74,557 
 41,618  e  Protector Forsikring ASA   339 
 1,592,774     Prudential Financial, Inc   148,940 
 5,994,057     Prudential plc   136,642 
 57,256,000  *  PT Panin Insurance Tbk   4,273 
 280,859,000  *  PT Panin Life Tbk   3,993 
 137,528  *  Qatar Insurance Co SAQ   1,343 
94

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,341,465     QBE Insurance Group Ltd  $9,658 
 955,700     Qualitas Controladora SAB de C.V.   2,363 
 582,232     Rand Merchant Investment Holdings Ltd   1,583 
 103,952     Reinsurance Group of America, Inc (Class A)   13,876 
 39,185     RenaissanceRe Holdings Ltd   4,715 
 59,705     RLI Corp   3,952 
 855,495     RSA Insurance Group plc   7,651 
 109,273  *,g  Sabre Insurance Group plc   391 
 21,585     Safety Insurance Group, Inc   1,843 
 657,300     Saga plc   1,087 
 1,783,154     Sampo Oyj (A Shares)   86,841 
 32,660     Samsung Fire & Marine Insurance Co Ltd   7,738 
 66,083     Samsung Life Insurance Co Ltd   5,834 
 2,623,263     Sanlam Ltd   13,328 
 51,211     SCOR SE   1,894 
 88,276     Selective Insurance Group, Inc   4,855 
 10,946,361     Shin Kong Financial Holding Co Ltd   4,211 
 548,000     Shinkong Insurance Co Ltd   638 
 83,349     Societa Cattolica di Assicurazioni SCRL   694 
 732,392  e  Sony Financial Holdings, Inc   13,954 
 25,285     State Auto Financial Corp   756 
 466,030     Steadfast Group Ltd   969 
 65,209     Stewart Information Services Corp   2,809 
 1,140,683     Storebrand ASA   9,181 
 194,694     Sul America SA   918 
 529,455     Sun Life Financial, Inc   21,276 
 865,573     Suncorp-Metway Ltd   9,335 
 17,659     Swiss Life Holding   6,123 
 146,022     Swiss Re Ltd   12,749 
 673,800     Syarikat Takaful Malaysia BHD   657 
 549,218     T&D Holdings, Inc   8,237 
 1,393,643  *  Third Point Reinsurance Ltd   17,421 
 37,869     Tiptree Financial, Inc   257 
 2,219,881     Tokio Marine Holdings, Inc   103,853 
 21,966     Tong Yang Life Insurance   146 
 263,041     Topdanmark AS   11,487 
 118,446     Torchmark Corp   9,643 
 168,449     Travelers Cos, Inc   20,608 
 15  *  Trisura Group Ltd    0^
 120,473  *,e  Trupanion, Inc   4,650 
 84,265     Tryg A.S.   1,973 
 266,680     Unipol Gruppo Finanziario S.p.A   1,028 
 236,074     Uniqa Versicherungen AG.   2,169 
 94,938     United Fire & Casualty Co   5,175 
 30,423     United Insurance Holdings Corp   596 
 245,734     Universal Insurance Holdings, Inc   8,625 
 249,544     UnumProvident Corp   9,231 
 47,258     Validus Holdings Ltd   3,195 
 45,731     Vittoria Assicurazioni S.p.A.   744 
 235,720     W.R. Berkley Corp   17,068 
 6,908     White Mountains Insurance Group Ltd   6,263 
 82,046     Wiener Staedtische Allgemeine Versicherung AG.   2,232 
 242,444     Willis Towers Watson plc   36,755 
 55,000     Wiz Solucoes e Corretagem de Seguros S.A.   116 
95

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 12,458     Wuestenrot & Wuerttembergische AG.  $255 
 84,602     XL Group Ltd   4,733 
 183,600  *,e,g  ZhongAn Online P&C Insurance Co Ltd   1,155 
 355,433     Zurich Financial Services AG.   105,112 
       TOTAL INSURANCE   4,703,949 
               
MATERIALS - 5.1%     
 42,420     A. Schulman, Inc   1,888 
 12,041     Aarti Industries   216 
 105,395     Acerinox S.A.   1,393 
 7,499     Achilles Corp   147 
 16,927  m  Acron JSC (GDR)   117 
 207,200     ADEKA Corp   3,318 
 247,130  e  Adelaide Brighton Ltd   1,269 
 27,960  e  Advanced Emissions Solutions, Inc   318 
 16,695     Advanced Metallurgical Group NV   934 
 80,063     Advansa Sasa Polyester Sanayi AS   163 
 133,742  *  AdvanSix, Inc   4,899 
 69,465     Aeci Ltd   536 
 227,903     Aekyung Petrochemical Co Ltd   2,309 
 81,915  *,e  African Barrick Gold Ltd   136 
 731,347     African Rainbow Minerals Ltd   5,807 
 144,672     Agnico-Eagle Mines Ltd   6,632 
 47,890  *,e  AgroFresh Solutions, Inc   336 
 58,900     Aichi Steel Corp   2,265 
 62,591     Air Liquide   7,845 
 190,472     Air Products & Chemicals, Inc   29,662 
 44,050     Air Water, Inc   808 
 2,635     AK Holdings, Inc   178 
 471,537  *,e  AK Steel Holding Corp   2,046 
 38,692     Akcansa Cimento AS   81 
 5,734     Akzo Nobel India Ltd   154 
 316,351     Akzo Nobel NV   26,982 
 227,752     Alamos Gold, Inc   1,298 
 342,113  e  Albemarle Corp   32,272 
 495,582  *  Alcoa Corp   23,233 
 2,745,000     Alexandria Mineral Oils Co   1,803 
 605,661  *,e  Allegheny Technologies, Inc   15,214 
 22,974     Altius Minerals Corp   230 
 473,215     Altri SGPS S.A.   4,769 
 489,965  *  Altura Mining Ltd   117 
 1,706,656     Alumina Ltd   3,532 
 4,317,445  *,e  Aluminum Corp of China Ltd   1,892 
 827,823     Ambuja Cements Ltd   2,507 
 1,715,879     Amcor Ltd   18,282 
 85,382     American Vanguard Corp   1,960 
 3,729,000     AMVIG Holdings Ltd   984 
 1,076,189     Anadolu Cam Sanayii AS   674 
 335,679  *  Anatolia Minerals Development Ltd   620 
 1,516,000     Angang New Steel Co Ltd   1,362 
 267,000     Angang Steel Co Ltd   224 
 55,980     Anglo American Platinum Ltd   1,460 
 1,693,506  e  Anglo American plc (London)   37,597 
96

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 374,009     AngloGold Ashanti Ltd  $3,066 
 2,138,869     Anhui Conch Cement Co Ltd   12,198 
 57,300     Anhui Conch Cement Co Ltd (Class A)   288 
 604,022     Antofagasta plc   7,848 
 176,567     APERAM   7,568 
 4,288     APL Apollo Tubes Ltd   104 
 42,370     Aptargroup, Inc   3,957 
 1,246,912     ArcelorMittal   36,380 
 25,000  e  ArcelorMittal (ADR)   719 
 39,162     Ardagh Group S.A.   651 
 110,301  *,e  Arizona Mining, Inc   517 
 397,265     Arkema   46,877 
 53,774     Asahi Holdings, Inc   1,002 
 1,563,985     Asahi Kasei Corp   19,834 
 695,090     Ashland Global Holdings, Inc   54,342 
 879,000     Asia Cement China Holdings Corp   521 
 935     Asia Cement Co Ltd   120 
 1,778,024     Asia Cement Corp   1,952 
 207,754     Asia Polymer   119 
 374,864     Asian Paints Ltd   6,919 
 4,515     Atul Ltd   175 
 137,594     Aurubis AG.   10,503 
 266,163     Ausdrill Ltd   361 
 132,433     Avery Dennison Corp   13,521 
 873,546  *  Axalta Coating Systems Ltd   26,477 
 574,079  *  B2Gold Corp   1,489 
 48,757     Balchem Corp   4,785 
 733,647     Ball Corp   26,081 
 311,400     Baoshan Iron & Steel Co Ltd   365 
 1,219,220     Barrick Gold Corp (Canada)   16,016 
 6,466     BASF India Ltd   184 
 824,376     BASF SE   78,702 
 12,300     Bayer CropScience Ltd   822 
 14,116,000     BBMG Corp   5,188 
 25,423     Bekaert S.A.   824 
 58,671     Bemis Co, Inc   2,476 
 4,810,287  *  Berry Plastics Group, Inc   220,985 
 4,134,878     BHP Billiton Ltd   103,463 
 575,767  e  BHP Billiton Ltd (ADR)   28,794 
 3,218,911     BHP Billiton plc   72,240 
 103,577     Billerud AB   1,460 
 3,750  *,e  Bio On Spa   250 
 11,489     Birla Corp Ltd   122 
 844,860     BlueScope Steel Ltd   10,783 
 182,522     Boise Cascade Co   8,159 
 482,092     Boliden AB   15,559 
 1,042,022     Boral Ltd   5,027 
 62,756     Borregaard ASA   677 
 22,621     Borusan Mannesmann Boru Sanayi   46 
 61,973  *  Boryszew S.A.   105 
 142,200     Bradespar S.A.   1,072 
 169,775     Braskem S.A.   2,224 
 168,687     Brickworks Ltd   1,950 
 41,843     Buzzi Unicem S.p.A.   1,022 
97

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 57,143     Buzzi Unicem S.p.A. RSP  $759 
 132,353     Cabot Corp   8,175 
 365,000     Cahya Mata Sarawak BHD   212 
 656,907  *  Canfor Corp   15,810 
 141,203     Canfor Pulp Products, Inc   2,709 
 46,697     CAP S.A.   463 
 121,969     Carpenter Technology Corp   6,412 
 197,393  e  Cascades, Inc   1,767 
 192,308     CCL Industries   9,428 
 135,902     Celanese Corp (Series A)   15,093 
 24,909     Cementir S.p.A.   197 
 500,768     Cementos Argos S.A.   1,674 
 1,536,800  *,g  CEMEX Holdings Philippines, Inc   91 
 110,281  *  Cemex Latam Holdings S.A.   312 
 17,675,278  *  Cemex S.A. de C.V.   11,623 
 674,110     Centamin plc   1,057 
 362,696  *  Centerra Gold, Inc   2,017 
 109,919     Central Asia Metals plc   364 
 73,676  *  Century Aluminum Co   1,160 
 33,121     Century Plyboards India Ltd   122 
 16,187     Century Textile & Industries Ltd   210 
 531,131     CF Industries Holdings, Inc   23,582 
 211,979     Chambal Fertilizers & Chemicals Ltd   479 
 10,666     Chase Corp   1,251 
 372,152     Chemours Co   16,509 
 479,560     Cheng Loong Corp   270 
 236,000  *,e  Chiho-Tiande Group Ltd   94 
 1,012,695     China BlueChemical Ltd   372 
 179,640     China General Plastics Corp   178 
 46,000     China Hi-ment Corp   89 
 910,250     China Manmade Fibers Corp   310 
 176,112     China Metal Products   166 
 858,455  *,†,e,m  China Metal Recycling Holdings Ltd   1 
 488,000  *,g  China Metal Resources Utilization Ltd   310 
 4,083,000  *,e  China Molybdenum Co Ltd   1,968 
 310,700     China Molybdenum Co Ltd (Class A)   294 
 10,181,282     China National Building Material Co Ltd   10,021 
 181,200     China Northern Rare Earth Group High-Tech Co Ltd   311 
 1,500,628  *  China Petrochemical Development Corp   639 
 1,962,000     China Resources Cement Holdings Ltd   1,975 
 7,319,000     China Sanjiang Fine Chemicals   2,437 
 4,114,400  *,†,e,m  China Shanshui Cement Group Ltd   2,292 
 2,216,000     China Silver Group Ltd   364 
 5,334     China Singyes New Materials Holdings Ltd    1 
 84,000     China Steel Chemical Corp   410 
 12,442,303     China Steel Corp   9,665 
 358,817     China Synthetic Rubber Corp   549 
 225,000     China XLX Fertiliser Ltd   94 
 1,978,400  e  China Zhongwang Holdings Ltd   1,045 
 71,166     Christian Hansen Holding   6,552 
 30,600     Chugoku Marine Paints Ltd   305 
 547,000  *  Chung Hung Steel Corp   227 
 297,540     Chung Hwa Pulp Corp   104 
98

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 318,283     Cia de Minas Buenaventura S.A. (ADR) (Series B)  $4,338 
 603,848  *  Cia Siderurgica Nacional S.A.   1,225 
 73,598     Ciech S.A.   1,051 
 143,713     Cimsa Cimento Sanayi Ve Tica   342 
 19,860     Clariant AG.   475 
 24,089  *  Clearwater Paper Corp   556 
 447,772  *,e  Cleveland-Cliffs, Inc   3,775 
 279,812  *  Coeur Mining, Inc   2,127 
 176,787     Commercial Metals Co   3,732 
 86,132  *,†,m  Companhia Vale do Rio Doce   0 
 51,617  e  Compass Minerals International, Inc   3,394 
 71,076  *  Constellium NV   732 
 97,629  *  Continental Gold, Inc   281 
 40,274     Corbion NV   1,282 
 85,227     Coromandel International Ltd   489 
 23,461  e  Corticeira Amorim SGPS S.A.   307 
 209,591  g  Covestro AG.   18,629 
 294,000  e  CPMC Holdings Ltd   181 
 1,593,239     CRH plc   56,041 
 36,114     Croda International plc   2,282 
 2,355,769  *  Crown Holdings, Inc   105,444 
 1,923,155     CSR Ltd   6,525 
 1,701,600     D&L Industries Inc   324 
 130,000  e  Da Ming International Holdings Ltd   42 
 174,899     Daicel Chemical Industries Ltd   1,932 
 72,300     Daido Steel Co Ltd   3,338 
 40,100     Daiken Corp   924 
 14,771     Dainichiseika Color & Chemicals Manufacturing Co Ltd   459 
 96,800     Dainippon Ink and Chemicals, Inc   3,019 
 36,772  e  Daio Paper Corp   511 
 8,300     Daiso Co Ltd   236 
 27,597     Dalmia Bharat Ltd   918 
 101,002     DCM Shriram Ltd   437 
 64,646     Deepak Fertilizers & Petrochemicals Corp Ltd   253 
 129,500     Denki Kagaku Kogyo KK   4,311 
 99,293  *  Detour Gold Corp   893 
 161,600     DG Khan Cement Co Ltd   152 
 8,103     Dhanuka Agritech Ltd   66 
 275,238     Domtar Corp   13,140 
 18,919     Dongjin Semichem Co Ltd   208 
 41,787     Dongkuk Steel Mill Co Ltd   316 
 910,000     Dongyue Group   762 
 46,300     Dowa Holdings Co Ltd   1,425 
 7,707,317     DowDuPont, Inc   508,066 
 1,000,233     DS Smith plc   6,853 
 235,851     DSM NV   23,594 
 6,364  *  Duk San Neolux Co Ltd   88 
 228,238     DuluxGroup Ltd   1,291 
 14,325     Eagle Materials, Inc   1,504 
 619,800     Eastern Polymer Group PCL   137 
 335,839     Eastman Chemical Co   33,570 
 263,529     Ecolab, Inc   36,981 
 11,582  *  Ecopro Co Ltd   350 
99

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 112,917     EID Parry India Ltd  $397 
 131,491  *  El Ezz Steel Co   216 
 452,454  e  Eldorado Gold Corp   458 
 271,480     Elementis plc   903 
 3,809,070     Empresas CMPC S.A.   14,013 
 2,750     EMS-Chemie Holding AG.   1,759 
 1,366,531     Ence Energia y Celulosa S.A.   12,079 
 44,065  *,e  Endeavour Mining Corp   791 
 84,984  *,e  Endeavour Silver Corp   267 
 366,400     Engro Chemical Pakistan Ltd   947 
 910,500     Engro Fertilizers Ltd   562 
 31,786     Eramet   4,170 
 53,781  *  Ercros S.A.   279 
 4,278,350     Eregli Demir ve Celik Fabrikalari TAS   9,489 
 47,124     Essel Propack Ltd   81 
 154,017  e  Essentra plc   975 
 584,032     Eternal Chemical Co Ltd   533 
 233,214     Eugene Corp   1,581 
 250,128     Everlight Chemical Industrial Corp   153 
 2,052,842     Evolution Mining Ltd   5,369 
 112,462     Evonik Industries AG.   3,848 
 1,853,221     Evraz plc   12,369 
 381,000     Fauji Cement Co Ltd   72 
 196,500     Fauji Fertilizer Bin Qasim Ltd   62 
 309,300     Fauji Fertilizer Co Ltd   252 
 300,050     Feng Hsin Iron & Steel Co   575 
 1,889,274     Ferrexpo plc   4,543 
 127,102  *  Ferro Corp   2,650 
 202,348  *,m  Ferroglobe plc   0 
 217,530     Fibria Celulose S.A.   4,073 
 17,645     Finolex Industries Ltd   149 
 101,977  *,e  First Majestic Silver Corp   778 
 1,723,444     First Quantum Minerals Ltd   25,393 
 1,312,893     Fletcher Building Ltd   6,161 
 83,680  *,e  Flotek Industries, Inc   270 
 305,886     FMC Corp   27,288 
 29,516  *,e  Foosung Co Ltd   273 
 3,576,354     Formosa Chemicals & Fibre Corp   14,231 
 10,443,176     Formosa Plastics Corp   38,486 
 1,158,600  g  Forterra plc   4,687 
 63,082  *,e  Forterra, Inc   614 
 3,529,459     Fortescue Metals Group Ltd   11,460 
 98,102  *  Fortuna Silver Mines, Inc   558 
 14,300     FP Corp   790 
 253,518     Franco-Nevada Corp   18,503 
 5,852,381     Freeport-McMoRan Copper & Gold, Inc (Class B)   101,012 
 171,291     Fresnillo plc   2,581 
 10,865     Frutarom Industries Ltd   1,069 
 53,849     Fuchs Petrolub AG. (Preference)   2,650 
 8,196,200  e  Fufeng Group Ltd   3,677 
 33,000     Fuji Seal International, Inc   1,169 
 10,400     Fujimi, Inc   230 
100

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 9,700     Fujimori Kogyo Co Ltd  $319 
 155,599  e  Furukawa-Sky Aluminum Corp   3,353 
 1,547,800     Fushan International Energy Group Ltd   367 
 10,700  e  Fuso Chemical Co Ltd   275 
 127,051     FutureFuel Corp   1,780 
 209,802  *,e  Galaxy Resources Ltd   470 
 270,780  *  GCP Applied Technologies, Inc   7,839 
 3,242,012     Gerdau S.A. (Preference)   11,636 
 10,835     Givaudan S.A.   24,539 
 22,671,588     Glencore Xstrata plc   107,640 
 195,900     Global Green Chemicals PCL   55 
 185,959     Gloria Material Technology Corp   116 
 117,200  e  Godo Steel Ltd   2,215 
 763,770     Gold Fields Ltd   2,703 
 81,707  *  Gold Resource Corp   538 
 550,805     Goldcorp, Inc   7,562 
 9,463,418  *  Goldsun Development & Construction Co Ltd   2,909 
 2,726,000     Grand Pacific Petrochemical   2,615 
 254,396     Granges AB   3,320 
 567,777     Graphic Packaging Holding Co   8,238 
 379,560     Grasim Industries Ltd   5,586 
 605,755  *,†,m  Great Basin Gold Ltd   5 
 49,000     Great China Metal Industry   43 
 1,272,000  e  Greatview Aseptic Packaging Co   759 
 18,468     Greenply Industries Ltd   63 
 8,711     Greif, Inc   502 
 112,977     Greif, Inc (Class A)   5,975 
 18,799     Groupe Guillin   701 
 308,509     Grupo Argos S.A.   2,090 
 106,000  *  Grupo Cementos de Chihuahua SAB de C.V.   688 
 4,015,644     Grupo Mexico S.A. de C.V. (Series B)   11,402 
 10,837     Gujarat Alkalies & Chemicals Ltd   84 
 25,418     Gujarat Flourochemicals   275 
 491,490     Gujarat Narmada Valley Fertilizers Co Ltd   2,889 
 6,594     Gulf Oil Lubricants India Ltd   82 
 228  e  Gurit Holding AG.   186 
 383,937  *  Guyana Goldfields, Inc   1,434 
 9,076     H&R GmbH & Co KGaA   108 
 127,468     H.B. Fuller Co   6,842 
 5,713  m  Hanil Cement Manufacturing   736 
 5,411     Hansol Chemical Co Ltd   380 
 158,791     Hansol Paper Co Ltd   2,386 
 113,400     Hanwha Chemical Corp   2,223 
 228,636     Harmony Gold Mining Co Ltd   349 
 18,204     Hawkins, Inc   644 
 19,689     Haynes International, Inc   723 
 963,150  e  Hecla Mining Co   3,352 
 18,963     HeidelbergCement AG.   1,592 
 37,145     HeidelbergCement India Ltd   75 
 406,800     Hesteel Co Ltd   181 
 167,386  e  Hexpol AB   1,731 
 68,407     Hill & Smith Holdings plc   1,331 
 44,085     Himadri Speciality Chemical Ltd   81 
 1,893,761     Hindalco Industries Ltd   6,377 
101

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 147,211     Hitachi Chemical Co Ltd  $2,964 
 184,049     Hitachi Metals Ltd   1,908 
 514,971  *  Ho Tung Chemical Corp   144 
 139,046     Hochschild Mining plc   349 
 4,200     Hodogaya Chemical Co Ltd   126 
 141,729     Hokuetsu Paper Mills Ltd   729 
 64,199     Holcim Ltd   3,121 
 61,672     Holmen AB   1,397 
 17,340     Honam Petrochemical Corp   5,405 
 17,360     HSIL Ltd   85 
 157,000  *  Hsin Kuang Steel Co Ltd   200 
 189,000  e  Huabao International Holdings Ltd   120 
 14,709     Huchems Fine Chemical Corp   386 
 1,192,650     HudBay Minerals, Inc   6,650 
 68,748  e  Huhtamaki Oyj   2,535 
 722,532     Huntsman Corp   21,098 
 20,835  †,m  Hyosung Corp   2,514 
 77,106     Hyundai Steel Co   3,637 
 1,553,707  *  IAMGOLD Corp   9,053 
 237,955  g  Ibstock plc   938 
 424,159     Iluka Resources Ltd   3,503 
 46,972     IMCD Group NV   3,141 
 3,755     Imerys S.A.   303 
 418,312  *,e  Impala Platinum Holdings Ltd   618 
 2,247,331     Incitec Pivot Ltd   6,030 
 292,300  e  Independence Group NL   1,111 
 94,785     India Cements Ltd   146 
 1,497,878     Indorama Ventures PCL (Foreign)   2,473 
 98,800  *,e  Industrias CH SAB de C.V.   411 
 207,881     Industrias Penoles S.A. de C.V.   3,727 
 193,859  *  Ingevity Corp   15,675 
 1,040,400  *  Inner Mongolia BaoTou Steel Union Co Ltd   243 
 208,920     Inner Mongolia Eerduosi Resourses Co Ltd   205 
 55,660     Innophos Holdings, Inc   2,649 
 67,854     Innospec, Inc   5,194 
 389,520  *  Interfor Corp   7,481 
 42,578     International Flavors & Fragrances, Inc   5,278 
 1,005,007     International Paper Co   52,341 
 71,500     International Steels Ltd   60 
 142,949     Intertape Polymer Group, Inc   1,965 
 741,985  *  Intrepid Potash, Inc   3,042 
 24,700  *  Ishihara Sangyo Kaisha Ltd   232 
 217,980     Israel Chemicals Ltd   999 
 14,522     Israel Corp Ltd   3,099 
 324,344  *,e  Ivanhoe Mines Ltd   666 
 31,459  *,†,e,m  Jacana Minerals Ltd   5 
 288,457     James Hardie Industries NV   4,836 
 44,946  *  Jastrzebska Spolka Weglowa S.A.   914 
 12,800     JCU Corp   297 
 481,286     JFE Holdings, Inc   9,090 
 1,443,445     Jiangxi Copper Co Ltd   1,833 
 126,100     Jiangxi Copper Co Ltd (Class A)   301 
102

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 52,200     Jiangxi Ganfeng Lithium Co Ltd  $303 
 833,000  *,e  Jinchuan Group International Resources Co Ltd   114 
 410,472     Jindal Saw Ltd   476 
 203,228  *  Jindal Steel & Power Ltd   663 
 299,449  *  Jinduicheng Molybdenum Co Ltd   283 
 217,838  *,e  Jinshan Gold Mines, Inc   378 
 10,540     JK Cement Ltd   134 
 18,352     JK Lakshmi Cement Ltd   83 
 24,824     Johnson Matthey plc   1,182 
 74,479  *  JSL Ltd   73 
 6,500     JSP Corp   196 
 1,044,993     JSR Corp   17,759 
 888,400     JSW Steel Ltd   4,238 
 19,613     K&S AG.   482 
 46,858     Kaiser Aluminum Corp   4,878 
 190,638     Kaneka Corp   1,707 
 289,717     Kansai Paint Co Ltd   6,012 
 28,700  e  Kanto Denka Kogyo Co Ltd   239 
 133,779     Kapstone Paper and Packaging Corp   4,615 
 123,183  *  Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS (Class A)   90 
 1,077,354  *  Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS (Class D)   1,036 
 812,299  *  KAZ Minerals plc   8,978 
 59,068     Kemira Oyj   784 
 353,742     KGHM Polska Miedz S.A.   8,292 
 16,200  e  KH Neochem Co Ltd   490 
 160,253  *  Kidman Resources Ltd   220 
 1,436,464  *  Kinross Gold Corp   5,409 
 111,271  e  Kirkland Lake Gold Ltd   2,356 
 17,035     KISCO Corp   111 
 4,534     KISWIRE Ltd   119 
 618,651     Klabin S.A.   3,129 
 1,349,700     Klabin S.A. (Preference)   1,090 
 210,021  *,e  Klondex Mines Ltd   485 
 107,798  *  Klondex Mines Ltd (Toronto)   252 
 98,805     KMG Chemicals, Inc   7,290 
 14,500     Koatsu Gas Kogyo Co Ltd   127 
 790,586     Kobe Steel Ltd   7,225 
 10,907     Kolon Industries, Inc   661 
 52,600     Konishi Co Ltd   851 
 88,013  *  Koppers Holdings, Inc   3,375 
 16,503     Korea Kumho Petrochemical   1,724 
 19,160     Korea Petrochemical Ind Co Ltd   4,302 
 8,833     Korea Zinc Co Ltd   3,059 
 25,305  *  Koza Altin Isletmeleri AS   234 
 124,193  *  Koza Anadolu Metal Madencilik Isletmeleri AS   171 
 47,268  *  Kraton Polymers LLC   2,181 
 33,701     Kronos Worldwide, Inc   759 
 15,279     Kukdo Chemical Co Ltd   844 
 78,094  e  Kumba Iron Ore Ltd   1,671 
 149,248     Kumiai Chemical Industry Co Ltd   1,169 
 83,242     Kuraray Co Ltd   1,145 
 14,100     Kureha CORP   1,006 
103

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 11,900  e  Kyoei Steel Ltd  $225 
 187,685  e  Labrador Iron Ore Royalty Corp   3,439 
 167,800  *  Lafarge Malayan Cement BHD   129 
 551     LafargeHolcim Ltd   27 
 706,218     Lanxess AG.   54,906 
 1,811,000     Lee & Man Paper Manufacturing Ltd   1,827 
 1,622,448     LEE Chang Yung Chem IND Corp   2,506 
 9,513     Lenzing AG.   1,145 
 45,205     LG Chem Ltd   13,530 
 8,454     LG Chem Ltd (Preference)   1,528 
 11,437     Linde AG.   2,382 
 1,289,754     Linde AG. (Tender)   306,418 
 26,700     Lintec Corp   774 
 34,236  *,e  Lithium Americas Corp   183 
 11,066     Lock & Lock Co Ltd   220 
 469,740  *  Loma Negra Cia Industrial Argentina S.A. (ADR)   4,820 
 285,220     Long Chen Paper Co Ltd   243 
 334  *  Lonmin plc    0^
 1,467,519     Louisiana-Pacific Corp   39,946 
 38,779  *,e  LSB Industries, Inc   206 
 187,919  e  Lucara Diamond Corp   302 
 127,850     Lucky Cement Ltd   535 
 476,000     Luks Group Vietnam Holdings Ltd   149 
 35,068  *,e  Lundin Gold, Inc   122 
 1,896,175     Lundin Mining Corp   10,544 
 469,903  *  Lynas Corp Ltd   811 
 537,862     LyondellBasell Industries AF S.C.A   59,084 
 298,100  *  Maanshan Iron & Steel Co Ltd   161 
 65,144     Madras Cements Ltd   667 
 45,096  *  MAG. Silver Corp   487 
 18,160     Magnesita Refratarios S.A.   297 
 66,339  *  Major Drilling Group International   350 
 167,400     Maple Leaf Cement Factory Ltd   70 
 83,774  *  Marrone Bio Innovations, Inc   154 
 109,185     Marshalls plc   586 
 13,087     Martin Marietta Materials, Inc   2,923 
 41,672     Maruichi Steel Tube Ltd   1,412 
 43,795     Materion Corp   2,371 
 446,100     Metalurgica Gerdau S.A.   711 
 228,093     Methanex Corp   16,129 
 1,739,843     Mexichem SAB de C.V.   5,031 
 178,564     Mineral Resources Ltd   2,114 
 119,489     Minerals Technologies, Inc   9,003 
 19,365     Miquel y Costas & Miquel S.A.   728 
 31,793     Misr Fertilizers Production Co SAE   174 
 2,026,699     Mitsubishi Chemical Holdings Corp   16,925 
 245,278     Mitsubishi Gas Chemical Co, Inc   5,543 
 104,610     Mitsubishi Materials Corp   2,870 
 8,800     Mitsubishi Steel Manufacturing Co Ltd   171 
 316,538     Mitsui Chemicals, Inc   8,413 
 41,000     Mitsui Mining & Smelting Co Ltd   1,740 
 529,250     MMC Norilsk Nickel PJSC (ADR)   9,459 
 57,306     MMC Norilsk Nickel PJSC (ADR)   1,033 
104

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 2,684,000  *,e  MMG Ltd  $1,869 
 42,210     MOIL Ltd   107 
 107,690     Mondi Ltd   2,917 
 304,888     Mondi plc   8,225 
 12,981  *,†,m  Mongolian Metals Corporation   0 
 2,790     Monsanto India Ltd   117 
 165,357     Mosaic Co   4,638 
 84,809  *  Mountain Province Diamonds, Inc   213 
 282,839     Mpact Ltd   485 
 141,205     M-real Oyj (B Shares)   1,592 
 165,652     Myers Industries, Inc   3,181 
 178,773     Mytilineos Holdings S.A.   1,789 
 84,300  e  Nakayama Steel Works Ltd   510 
 12,799     Namhae Chemical Corp   177 
 421,453  *  Nampak Ltd   482 
 11,736,071     Nan Ya Plastics Corp   33,520 
 137,405     Nantex Industry Co Ltd   128 
 1,771,113     National Aluminium Co Ltd   1,673 
 24,844     Neenah Paper, Inc   2,108 
 348,002  *,e  Nemaska Lithium, Inc   225 
 7,523     Neo Performance Materials, Inc   93 
 16,800     Neturen Co Ltd   146 
 187,361     Nevsun Resources Ltd   651 
 340,417  *  New Gold, Inc   709 
 926,435     Newcrest Mining Ltd   15,043 
 3,508     NewMarket Corp   1,419 
 1,326,884     Newmont Mining Corp   50,037 
 687,850     Nickel Asia Corp   60 
 26,900  e  Nihon Nohyaku Co Ltd   173 
 50,100     Nihon Parkerizing Co Ltd   721 
 1,745,902     Nine Dragons Paper Holdings Ltd   2,215 
 76,400  e  Nippon Denko Co Ltd   217 
 129,800     Nippon Kayaku Co Ltd   1,450 
 537,600     Nippon Light Metal Holdings Co Ltd   1,206 
 132,132  e  Nippon Paint Co Ltd   5,682 
 103,800     Nippon Paper Industries Co Ltd   1,655 
 15,500     Nippon Shokubai Co Ltd   1,119 
 65,000     Nippon Soda Co Ltd   359 
 1,063,946     Nippon Steel Corp   20,861 
 8,100  *  Nippon Valqua Industries Ltd   230 
 97,961     Nissan Chemical Industries Ltd   4,563 
 134,000     Nisshin Steel Holdings Co Ltd   1,847 
 14,800     Nittetsu Mining Co Ltd   699 
 113,963     Nitto Denko Corp   8,604 
 38,060     NOF Corp   1,228 
 190,367     Norbord, Inc   7,828 
 1,229,027     Norsk Hydro ASA   7,336 
 7,190,000  *  North Mining Shares Co Ltd   94 
 213,503  *  Northam Platinum Ltd   571 
 418,342     Northern Star Resources Ltd   2,265 
 164,600  *  Novagold Resources, Inc   737 
 7,659     Novolipetsk Steel (GDR)   186 
 173,834     Novozymes AS   8,792 
105

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 852,082     Nucor Corp  $53,255 
 314,287  e  Nufarm Ltd   2,060 
 335,258  e  Nutrien Ltd   18,231 
 772,495     Nutrien Ltd (Toronto)   42,026 
 48,228  *,e  Nyrstar NV   258 
 855,636     OceanaGold Corp   2,376 
 19,570     OCI Co Ltd   1,811 
 43,817  *,e  OCI NV   1,177 
 15,575     Oeneo S.A.   185 
 867,148     OJI Paper Co Ltd   5,374 
 28,000     Okamoto Industries, Inc   319 
 6,398,184     Olin Corp   183,756 
 13,515     Olympic Steel, Inc   276 
 40,198     Omnia Holdings Ltd   388 
 109,250  *  Omnova Solutions, Inc   1,136 
 242,241     Orica Ltd   3,180 
 34,145     Orient Cement Ltd   55 
 1,217,000     Oriental Union Chemical Corp   1,311 
 722,371  *,e  Orocobre Ltd   2,763 
 706,964     Orora Ltd   1,867 
 7,600     Osaka Steel Co Ltd   145 
 65,233     Osisko Gold Royalties Ltd   618 
 107,729  *,e  Osisko Mining, Inc   147 
 341,533     Outokumpu Oyj   2,115 
 400,478  *  Owens-Illinois, Inc   6,732 
 1,181,131     Oxiana Ltd   8,236 
 8,650  *,e  Pacific Metals Co Ltd   317 
 7,000     Pack Corp   226 
 383,941     Packaging Corp of America   42,921 
 117,295     Pact Group Holdings Ltd   457 
 89,613     Pan American Silver Corp   1,604 
 182,703     Papeles y Cartones de Europa S.A.   3,612 
 900,450     Petkim Petrokimya Holding   948 
 521,142  *,e  Petra Diamonds Ltd   386 
 10,878,616     Petronas Chemicals Group BHD   22,660 
 64,371     PH Glatfelter Co   1,261 
 25,977  *  Phillips Carbon Black Ltd   83 
 61,122     PI Industries Ltd   673 
 139,850  *  Pidilite Industries Ltd   2,171 
 821,487  *,e  Pilbara Minerals Ltd   525 
 29,030  e  Plastivaloire   514 
 414,207  *  Platform Specialty Products Corp   4,805 
 271,815     PolyOne Corp   11,748 
 9,009     Polyus PJSC (GDR)   296 
 2,528     Poongsan   96 
 159,831     Poongsan Corp   4,876 
 612,767     Portucel Empresa Produtora de Pasta e Papel S.A.   3,639 
 108,644     POSCO   32,056 
 12,722     POSCO Refractories & Environment Co Ltd   501 
 960,670  *  PPC Ltd   508 
 145,265     PPG Industries, Inc   15,068 
 55,051  *  PQ Group Holdings, Inc   991 
 1,014,780     Praxair, Inc   160,487 
106

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 113,949  *  Premier Gold Mines Ltd  $226 
 1,579,600     Press Metal BHD   1,703 
 96,000  *,e  Pretium Resources, Inc   706 
 76,163  *  Prism Cement Ltd   116 
 5,528,304     PT Aneka Tambang Tbk   343 
 3,743,100     PT Indah Kiat Pulp and Paper Corp Tbk   4,854 
 1,680,843     PT Indocement Tunggal Prakarsa Tbk   1,598 
 3,128,398  *  PT Krakatau Steel Tbk   99 
 385,800  *  PT Pelat Timah Nusantara Tbk   129 
 8,218,300  *,†,m  PT Sekawan Intipratama Tbk    0^
 2,861,438     PT Semen Gresik Persero Tbk   1,422 
 2,155,157     PT Timah Tbk   122 
 6,592,200     PT Waskita Beton Precast Tbk   168 
 2,395,977     PTT Global Chemical PCL (Foreign)   5,207 
 7,630     Qatar National Cement Co   116 
 144,500  *  Qinghai Salt Lake Industry Co Ltd   235 
 19,863     Quaker Chemical Corp   3,076 
 264,380  †,e,m  Quintis Ltd   2 
 482,627     Rain Commodities Ltd   1,359 
 31,833     Rallis India Ltd   87 
 10,063  *,e  Ramaco Resources, Inc   70 
 80,996     Randgold Resources Ltd   6,234 
 77,629  e  Rayonier Advanced Materials, Inc   1,327 
 20,567     Recticel S.A.   233 
 1,144,728     Regis Resources Ltd   4,359 
 178,374     Reliance Steel & Aluminum Co   15,615 
 261,567     Rengo Co Ltd   2,301 
 405,687     Resolute Mining Ltd   387 
 15,772     Rhi Magnesita NV   957 
 752,963     Rio Tinto Ltd   46,522 
 2,260,169     Rio Tinto plc   124,577 
 154,100     Rongsheng Petro Chemical Co Ltd   239 
 40,749  *  Royal Bafokeng Platinum Ltd   59 
 180,172     Royal Gold, Inc   16,727 
 3,038,337     RPC Group plc   29,915 
 69,720     RPM International, Inc   4,066 
 71,860  *  Ryerson Holding Corp   801 
 11,789     Sa des Ciments Vicat   773 
 8,800     Sakai Chemical Industry Co Ltd   237 
 22,400     Sakata INX Corp   292 
 213,076     Salzgitter AG.   9,270 
 12,753     Samsung Fine Chemicals Co Ltd   743 
 327,651     San Fang Chemical Industry Co Ltd   323 
 1,390,055     Sandfire Resources NL   9,412 
 113,923  *,e  Sandstorm Gold Ltd   512 
 32,808     Sanyo Chemical Industries Ltd   1,420 
 142,400     Sanyo Special Steel Co Ltd   3,396 
 452,170     Sappi Ltd   3,009 
 672,023  *  Saracen Mineral Holdings Ltd   1,098 
 200,300     Satipel Industrial S.A.   450 
 75,650     Scapa Group plc   434 
 286,825  *,e  Schmolz + Bickenbach AG.   225 
 73,368     Schnitzer Steel Industries, Inc (Class A)   2,472 
 58,890     Schweitzer-Mauduit International, Inc   2,575 
107

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 139,200     Scientex BHD  $248 
 76,528     Scotts Miracle-Gro Co (Class A)   6,364 
 24,966  *,e  Seabridge Gold, Inc   281 
 57,295     Seah Besteel Corp   1,102 
 6,701     SeAH Steel Corp   458 
 218,428     Sealed Air Corp   9,272 
 877,400     Sekisui Plastics Co Ltd   8,770 
 182,623  *  SEMAFO, Inc   529 
 71,852     Semapa-Sociedade de Investimento e Gestao   1,920 
 64,194     Sensient Technologies Corp   4,593 
 2,704,025  *  Sesa Sterlite Ltd   9,331 
 238,998  *  Severstal (GDR)   3,497 
 402,418     Severstal (GDR) (Equiduct)   5,860 
 12,613  g  SH Kelkar & Co Ltd   41 
 53,800     Shandong Gold Mining Co Ltd   196 
 1,263,000     Shanghai Chlor-Alkali Chemical Co Ltd   789 
 11,920     Sharda Cropchem Ltd   59 
 346,100     Shenzhen Zhongjin Lingnan Nonfemet Co Ltd   253 
 105,809     Sherwin-Williams Co   43,125 
 19,000     Shikoku Chemicals Corp   265 
 10,590  *  Shine Co Ltd   131 
 580,732     Shin-Etsu Chemical Co Ltd   51,609 
 145,800     Shin-Etsu Polymer Co Ltd   1,358 
 742,032     Shinkong Synthetic Fibers Corp   286 
 3,090,000  *,e  Shougang Concord International Enterprises Co Ltd   80 
 257,700  e  Showa Denko KK   11,407 
 9,328     Shree Cement Ltd   2,116 
 360,125     Siam Cement PCL (Foreign)   4,476 
 1,094,556  *,e  Sibanye Gold Ltd   656 
 568,439     Sidi Kerir Petrochemcials Co   831 
 19,157     Sika AG.   2,647 
 219,482     Silgan Holdings, Inc   5,889 
 796,000  *,e  Silver Grant International   174 
 486,974  e  Silvercorp Metals, Inc   1,285 
 656,634     Sims Group Ltd   7,799 
 1,206,000  *  Sinofert Holdings Ltd   143 
 2,990,674     Sinopec Shanghai Petrochemical Co Ltd   1,818 
 267,500  *  Sinopec Shanghai Petrochemical Co Ltd (Class A)   229 
 2,357,511  *,e  Sirius Minerals plc   1,029 
 47,372     SK Chemicals Co Ltd   1,567 
 5,340  *  SK Chemicals Co Ltd (New)   445 
 27,980     SKC Co Ltd   1,082 
 9,013     SKCKOLONPI, Inc   400 
 284,210     Smurfit Kappa Group plc   11,474 
 109,517     Sociedad Quimica y Minera de Chile S.A. (Class B)   5,269 
 2,902,462     Soda Sanayii AS   3,916 
 3,319     SODIFF Advanced Materials Co Ltd   533 
 458,019  *,e  SolGold plc   138 
 115,286     Solvay S.A.   14,519 
 8,327     Songwon Industrial Co Ltd   171 
 72,832     Sonoco Products Co   3,824 
 6,644,040     South32 Ltd   17,742 
 6,561     South32 Ltd (W/I)   18 
108

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 250,616  e  Southern Copper Corp (NY)  $11,746 
 117,566  e  Ssab Svenskt Stal AB (Series A)   553 
 1,033,058     Ssab Svenskt Stal AB (Series B)   3,878 
 168,972     Ssangyong Cement Industrial Co Ltd   4,306 
 83,859  *  SSR Mining, Inc   827 
 2,964,836     St Barbara Ltd   10,662 
 1,386     Stalprodukt S.A.   168 
 1,195,021     Steel Dynamics, Inc   54,911 
 14,347     Stelco Holdings, Inc   277 
 7,000  e  Stella Chemifa Corp   240 
 28,401     Stella-Jones, Inc   1,035 
 102,623     Stepan Co   8,006 
 4,288     STO AG.   552 
 1,176,772     Stora Enso Oyj (R Shares)   22,926 
 322,506  *,e  Stornoway Diamond Corp   108 
 647,221     Sumitomo Bakelite Co Ltd   6,230 
 1,765,111     Sumitomo Chemical Co Ltd   9,983 
 338,318     Sumitomo Metal Mining Co Ltd   12,912 
 456,193  e  Sumitomo Osaka Cement Co Ltd   2,136 
 5,500     Sumitomo Seika Chemicals Co Ltd   274 
 11,512  e  Sumitomo Titanium Corp   172 
 508,249  *  Summit Materials, Inc   13,342 
 491,154  *  SunCoke Energy, Inc   6,581 
 72,885     Supreme Industries Ltd   1,202 
 412,888     Suzano Papel e Celulose S.A.   4,791 
 445,721     Svenska Cellulosa AB (B Shares)   4,825 
 39,000  *  Swancor Ind Co Ltd   114 
 12,601     Symrise AG.   1,102 
 12,679     Synalloy Corp   253 
 174,660  *,e  Syrah Resources Ltd   373 
 11,600  *,e  T Hasegawa Co Ltd   253 
 112,300     Ta Ann Holdings BHD   73 
 2,181,741     TA Chen Stainless Pipe   2,589 
 232     Taekwang Industrial Co Ltd   289 
 549,249     Tahoe Resources, Inc   2,702 
 183,133     Tahoe Resources, Inc (Toronto)   901 
 93,330     Taiheiyo Cement Corp   3,070 
 3,431,728     Taiwan Cement Corp   4,762 
 486,000     Taiwan Fertilizer Co Ltd   667 
 163,725     Taiwan Hon Chuan Enterprise Co Ltd   288 
 3,271,329     Taiwan Styrene Monomer   2,471 
 10,000     Taiyo Ink Manufacturing Co Ltd   410 
 80,133     Taiyo Nippon Sanso Corp   1,147 
 7,800     Takasago International Corp   250 
 166,100     Takiron Co Ltd   934 
 7,900  *,e  Tanaka Chemical Corp   85 
 933,349     Tata Steel Ltd   7,737 
 8,300     Tayca Corp   168 
 5,742     Technosemichem Co Ltd   319 
 1,209,984     Teck Cominco Ltd   30,824 
 1,998,137     Teijin Ltd   36,601 
 7,500     Tenma Corp   134 
 13,936  *  Tessenderlo Chemie NV   543 
 3,968,052     ThyssenKrupp AG.   96,185 
109

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 586,000  e  Tiangong International Co Ltd  $124 
 21,983  e  Tikkurila Oyj   377 
 24,357     Time Technoplast Ltd   42 
 206,081  *,e  TimkenSteel Corp   3,369 
 20,602  *  Titan Cement Co S.A.   521 
 21,741  *,e  TMAC Resources, Inc   93 
 61,400     Toagosei Co Ltd   709 
 22,500  e  Toho Titanium Co Ltd   206 
 27,600     Toho Zinc Co Ltd   1,020 
 112,100  e  Tokai Carbon Co Ltd   2,008 
 4,600     Tokushu Tokai Holdings Co Ltd   181 
 51,500     Tokuyama Corp   1,650 
 19,800     Tokyo Ohka Kogyo Co Ltd   763 
 63,700     Tokyo Steel Manufacturing Co Ltd   565 
 489,750     Ton Yi Industrial Corp   202 
 80,511  b  Tong Yang Major Corp   141 
 1,092,000  *  Tongfang Kontafarma Holdings Ltd   56 
 794,600     Tongling Nonferrous Metals Group Co Ltd   265 
 18,911     Tongyang Cement & Energy Corp   80 
 38,900     Topy Industries Ltd   1,078 
 340,571     Toray Industries, Inc   2,688 
 49,734  *  Torex Gold Resources, Inc   443 
 426,672     Tosoh Corp   6,597 
 80,200     Toyo Ink Manufacturing Co Ltd   2,089 
 57,100  *  Toyo Kohan Co Ltd   370 
 116,907     Toyo Seikan Kaisha Ltd   2,052 
 686,067     Toyobo Co Ltd   11,405 
 2,970,900     TPI Polene PCL   150 
 29,452  *  Trecora Resources   437 
 38,241     Tredegar Corp   899 
 851,825  *  Trevali Mining Corp   583 
 112,510     Trinseo S.A.   7,983 
 9,798,964  a,n  Tronox Ltd   192,844 
 402,000     TSRC Corp   432 
 64,815  *,e  Tubacex S.A.   215 
 588,000     Tung Ho Steel Enterprise Corp   434 
 619,225  *  Turquoise Hill Resources Ltd   1,752 
 453,664     UBE Industries Ltd   11,780 
 10,018  *  UFP Technologies, Inc   309 
 107,413     Ultra Tech Cement Ltd   5,990 
 185,958     Umicore S.A.   10,616 
 2,652     Unid Co Ltd   124 
 1,075,345  *  United Phosphorus Ltd   9,722 
 3,231     United States Lime & Minerals, Inc   271 
 429,818     United States Steel Corp   14,936 
 227,676     Universal Cement Corp   150 
 10,761  *  Universal Stainless & Alloy   255 
 6,962,095     UPC Technology Corp   4,675 
 854,912     UPM-Kymmene Oyj   30,439 
 23,969  *,e  US Concrete, Inc   1,258 
 510,447     USI Corp   237 
 4,296,345     Vale S.A.   54,971 
 296,694     Valhi, Inc   1,412 
110

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 200,599  e  Valvoline, Inc  $4,327 
 47,995     Vedanta Resources plc   407 
 167,853  *  Verso Corp   3,652 
 206,825     Victrex plc   7,918 
 7,736     Vinati Organics Ltd   107 
 3,525,600     Vinythai PCL (Foreign)   2,650 
 104,255     Voestalpine AG.   4,794 
 1,571,502     Volcan Cia Minera S.A.   388 
 123,524     Vulcan Materials Co   15,942 
 54,230     Warrior Met Coal, Inc   1,495 
 41,825     Welspun-Gujarat Stahl Ltd   72 
 11,412,000     West China Cement Ltd   1,816 
 257,420  e  West Fraser Timber Co Ltd   17,719 
 160,012     Western Areas NL   422 
 1,049,234     Western Forest Products, Inc   2,139 
 202,510  *  Westgold Resources Ltd   279 
 206,359     Westlake Chemical Corp   22,210 
 711,342     WestRock Co   40,561 
 746,267     Wheaton Precious Metals Corp   16,473 
 4,864,776     Wienerberger AG.   121,345 
 54,639     Winpak Ltd   1,829 
 1,866  *  Wonik Materials Co Ltd   90 
 86,407  *  Worthington Industries, Inc   3,626 
 1,499,496     WR Grace and Co   109,928 
 15,800  e  W-Scope Corp   229 
 435,000  *  Xinjiang Xinxin Mining Industry Co Ltd   58 
 666,085     Yamana Gold, Inc   1,941 
 23,800     Yamato Kogyo Co Ltd   718 
 191,641     Yara International ASA   7,929 
 68,573     Yeong Guan Energy Technology Group Co Ltd   131 
 1,941,100     Yeun Chyang Industrial Co Ltd   1,693 
 653,551     Yieh Phui Enterprise   222 
 75,200     Yodogawa Steel Works Ltd   1,918 
 4,463     Youlchon Chemical Co Ltd   53 
 246     Young Poong Corp   177 
 231,000  *,e  Youyuan International Holdings Ltd   108 
 765,285  *  Yuen Foong Yu Paper Manufacturing Co Ltd   302 
 495,891     Yule Catto & Co plc   3,436 
 46,000     Yung Chi Paint & Varnish Manufacturing Co Ltd   122 
 63,719     Zaklady Azotowe w Tarnowie-Moscicach S.A.   733 
 430,112     Zeon Corp   5,074 
 1,348,000  e  Zhaojin Mining Industry Co Ltd   1,031 
 21,811  *  Zhejiang Huayou Cobalt Co Ltd   320 
 148,700     Zhejiang Longsheng Group Co Ltd   267 
 150,600     Zhongjin Gold Corp Ltd   156 
 17,240     Zignago Vetro S.p.A.   161 
 6,108,731     Zijin Mining Group Co Ltd   2,341 
 426,600     Zijin Mining Group Co Ltd (Class A)   232 
       TOTAL MATERIALS   6,256,230 
               
MEDIA - 1.9%        
 539,700     ABB ASEA Brown Boveri Ltd   15,038 
 1,200,000     ABS-CBN Holdings Corp (ADR)   544 
 213,295  *,e  Aimia, Inc   376 
111

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 12,497,467  *,e  Alibaba Pictures Group Ltd  $1,366 
 1,590  *,e  Altice NV (Class A)   6 
 530  *  Altice NV (Class B)   2 
 71,716     Altice USA, Inc   1,223 
 298,274  e  AMC Entertainment Holdings, Inc   4,743 
 318,718  *  AMC Networks, Inc   19,824 
 6,600  e  Amuse, Inc   177 
 341,472  e  Antena 3 de Television S.A.   2,864 
 721     APG SGA S.A.   270 
 118,017     APN Outdoor Group Ltd   548 
 94,932  *  Arnoldo Mondadori Editore S.p.A.   144 
 329,171     Ascential plc   1,960 
 7,063,500  e  Asian Pay Television Trust   2,099 
 601,570     Astro Malaysia Holdings BHD   236 
 22,559     Avex Group Holdings, Inc   313 
 44,186     Axel Springer AG.   3,193 
 8,675     Beasley Broadcasting Group, Inc   97 
 675,900     BEC World PCL (Foreign)   160 
 1,309,093     Borussia Dortmund GmbH & Co KGaA   8,195 
 7,743  *  Boston Omaha Corp   163 
 2,064     Cable One, Inc   1,514 
 48,697  e  Cairo Communication S.p.A.   194 
 3,060,277     CBS Corp (Class B)   172,049 
 21,005  *  Central European Media Enterprises Ltd (Class A)   86 
 132,138  *,e  Central European Media Enterprises Ltd (Class A) (NASDAQ)   548 
 332,442  *  Charter Communications, Inc   97,475 
 58,276     Cheil Communications, Inc   1,079 
 161,865  *,†,m  Chennai Super Kings Cricket Ltd   5 
 263,184  e  Cinemark Holdings, Inc   9,233 
 37,140  e  Cineplex Galaxy Income Fund   824 
 561,387     Cineworld Group plc   1,959 
 8,799     CJ CGV Co Ltd   530 
 19,246  m  CJ E&M Corp   1,980 
 16,697     CJ Hellovision Co Ltd   162 
 54,672     Clear Channel Outdoor Holdings, Inc (Class A)   235 
 64,313     Cogeco Communications, Inc   3,186 
 31,768  e  Cogeco, Inc   1,404 
 16,121,048     Comcast Corp (Class A)   528,932 
 75,124  *  Corus Entertainment, Inc   283 
 33,697     CTS Eventim AG.   1,654 
 120,400     CyberAgent, Inc   7,221 
 522,785     Cyfrowy Polsat S.A.   3,219 
 27,600     Daiichikosho Co Ltd   1,332 
 1,747  *,e  Daily Journal Corp   402 
 168,037     Daily Mail & General Trust   1,642 
 129,248  e  Dentsu, Inc   6,118 
 8,040,000  *,e  Digital Domain Holdings Ltd   125 
 87,520  *,e  Discovery, Inc (Class A)   2,407 
 169,684  *  Discovery, Inc (Class C)   4,327 
 759,762  *  DISH Network Corp (Class A)   25,536 
 187,974     Emerald Expositions Events, Inc   3,872 
 188,782  e  Entercom Communications Corp (Class A)   1,425 
112

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 254,392     Entertainment One Ltd  $1,230 
 486,655     Entravision Communications Corp (Class A)   2,433 
 46,096  *,e  Eros International plc   599 
 4,000,000  *  eSun Holdings Ltd   636 
 207,706     Eutelsat Communications   4,299 
 71,943  e  EW Scripps Co (Class A)   963 
 114,522  *,e  Fluent, Inc   281 
 354,000     Fuji Television Network, Inc   6,041 
 169,796     Gannett Co, Inc   1,817 
 183,866  *  GCI Liberty, Inc   8,289 
 626,231     Gestevision Telecinco S.A.   5,264 
 120,120  *  Gray Television, Inc   1,898 
 2,180,227     Grupo Televisa S.A.   8,275 
 20,797     Hakuhodo DY Holdings, Inc   333 
 27,680  *  Hemisphere Media Group, Inc   363 
 187,922  e  HT&E Ltd   348 
 710,000  *,e  Huanxi Media Group Ltd   181 
 29,414     Hyundai Hy Communications & Network Co   118 
 300,678  *  IBN18 Broadcast Ltd   232 
 542,803  *,e  I-Cable Communications Ltd   8 
 82,300  e,g  IMAX China Holding, Inc   250 
 577,828  *  Imax Corp   12,799 
 1,694,232     Informa plc   18,623 
 5,275     Innocean Worldwide, Inc   281 
 26,434  *  Inox Leisure Ltd   100 
 2,034,541     Interpublic Group of Cos, Inc   47,690 
 63,018  e  IPSOS   2,150 
 162,303  e  ITE Group plc   171 
 4,052,901     ITV plc   9,266 
 112,047     Jagran Prakashan Ltd   225 
 226,651  e  JC Decaux S.A.   7,568 
 24,075  *  Jcontentree Corp   151 
 3,667,545     John Fairfax Holdings Ltd   2,032 
 30,130     John Wiley & Sons, Inc (Class A)   1,880 
 262,771  *,e  Juventus Football Club S.p.A.   202 
 21,491  *  JYP Entertainment Corp   509 
 70     Kabel Deutschland Holding AG.   9 
 121,332     Kadokawa Dwango Corp   1,341 
 8,205     Kinepolis Group NV   520 
 49,030     KT Skylife Co Ltd   602 
 69,450     Lagardere S.C.A.   1,830 
 15,571  *  Liberty Braves Group (Class A)   400 
 53,976  *  Liberty Braves Group (Class C)   1,396 
 54,956  *  Liberty Broadband Corp (Class A)   4,157 
 199,841  *  Liberty Broadband Corp (Class C)   15,132 
 1,913  *  Liberty Global plc   51 
 194,001  *  Liberty Global plc (Class A)   5,343 
 241,565  *,e  Liberty Latin America Ltd   4,682 
 88,826  *  Liberty Latin America Ltd (Class A)   1,698 
 43,388  *,e  Liberty Media Group (Class A)   1,532 
 366,018  *  Liberty Media Group (Class C)   13,590 
 160,489  *  Liberty SiriusXM Group (Class A)   7,230 
 372,663  *  Liberty SiriusXM Group (Class C)   16,904 
 92,794  e  Lions Gate Entertainment Corp (Class A)   2,303 
113

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 208,755     Lions Gate Entertainment Corp (Class B)  $4,897 
 265,194  *  Live Nation, Inc   12,880 
 42,041  *,e  LiveXLive Media, Inc   243 
 4,702     Loen Entertainment, Inc   380 
 18,675  *  Loral Space & Communications, Inc   702 
 68,618     M6-Metropole Television   1,372 
 18,300  e  Macromill, Inc   450 
 46,413  *  Madison Square Garden Co   14,397 
 166,300     Major Cineplex Group PCL (Foreign)   123 
 144,702     Marcus Corp   4,703 
 610,723  *  MDC Partners, Inc   2,809 
 207,211  *,e  Mediaset S.p.A.   661 
 60,068  e  Meredith Corp   3,063 
 38,574     Modern Times Group AB (B Shares)   1,610 
 1,008,600     Mono Technology PCL   66 
 88,959  *  MSG Networks, Inc   2,131 
 246,200     Multiplus S.A.   1,858 
 2,573     Nasmedia Co Ltd   132 
 743,232     Naspers Ltd (N Shares)   187,401 
 116,857     National CineMedia, Inc   982 
 46,148     Navneet Publications India   85 
 88,733     New Media Investment Group, Inc   1,640 
 226,964  e  New York Times Co (Class A)   5,878 
 229,663     News Corp   3,560 
 76,631     News Corp (Class B)   1,215 
 67,965  e  Nexstar Broadcasting Group, Inc (Class A)   4,989 
 32,400  e  Next Co Ltd   214 
 5,560,668     Nine Entertainment Co Holdings Ltd   10,197 
 142,433     Omnicom Group, Inc   10,863 
 91,969  e  oOh!media Ltd   337 
 4,903  *,m  oOh!media Ltd   18 
 525,227     Pearson plc   6,117 
 1,012,000     Phoenix Media Investment Holdings Ltd   88 
 661,900     Plan B Media PCL   122 
 65,900     Poly Culture Group Corp Ltd   105 
 258,189  *,e  Promotora de Informaciones S.A.   485 
 218,881     ProSiebenSat. Media AG.   5,539 
 7,500     Proto Corp   98 
 14,785,000  *  PT Bhakti Investama Tbk   107 
 4,386,400     PT Global MediaCom Tbk   170 
 2,792,300     PT Media Nusantara Citra Tbk   179 
 359,537     PT Multimedia Servicos de Telecomunicacoes e Multimedia SGPS S.A.   1,967 
 4,860,436     PT Surya Citra Media Tbk   697 
 5,297,100  *  PT Visi Media Asia Tbk   70 
 44,588     Publicis Groupe S.A.   3,060 
 8,311     PVR Ltd   167 
 366,507     Quebecor, Inc   7,505 
 60,158  g  RAI Way S.p.A   282 
 369  *  RCS MediaGroup S.p.A.    0^
 25,090  *  Reading International, Inc   400 
 1,814,401     Reed Elsevier NV   38,572 
 1,180,753     Reed Elsevier plc   25,215 
114

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 16,368  *,m  Rovi Guides, Inc  $57 
 180,100  *  RS PCL   80 
 5,968     RTL Group   404 
 5,303     Saga Communications, Inc   204 
 231,280     Sanoma-WSOY Oyj   2,341 
 34,154     SBS Media Holdings Co Ltd   72 
 75,280     Schibsted ASA (B Shares)   2,124 
 42,833     Scholastic Corp   1,898 
 58,400  e  Septeni Holdings Co Ltd   128 
 278,310     SES Global S.A.   5,087 
 38,900  *  Shanghai Oriental Pearl Group Co Ltd   88 
 239,530  *  Shaw Communications, Inc (B Shares)   4,879 
 5,100     Shochiku Co Ltd   737 
 20,740     SHOWBOX Corp   80 
 108,590  e  Sinclair Broadcast Group, Inc (Class A)   3,491 
 507,864  e  Singapore Press Holdings Ltd   968 
 2,430,414  e  Sirius XM Holdings, Inc   16,454 
 1,178,599     Sky Network Television Ltd   2,073 
 280,300     Sky Perfect Jsat Corp   1,335 
 1,092,241     Sky plc   21,035 
 10,984  *  SM Entertainment Co   413 
 617,600  e  SMI Holdings Group Ltd   205 
 62,600     Smiles Fidelidade S.A.   840 
 145,551     Societe Television Francaise 1   1,531 
 341,853  *,e  Solocal Group   436 
 422,155     Southern Cross Media Group   409 
 13,870  *  Storytel AB   199 
 19,429     Stroer Out-of-Home Media AG.   1,173 
 1,100,000     T4F Entretenimento S.A.   2,242 
 360,182     TEGNA, Inc   3,908 
 5,813  *  Telenet Group Holding NV   271 
 193,343  e  Television Broadcasts Ltd   612 
 4,500     Toei Animation Co Ltd   157 
 105,488     Toei Co Ltd   10,797 
 113,105     Toho Co Ltd   3,788 
 124,900     Tohokushinsha Film Corp   880 
 20,900     Tokyo Broadcasting System, Inc   469 
 121,897     Tribune Co   4,665 
 109,752  *  tronc, Inc   1,897 
 86,000     TV Asahi Corp   1,887 
 837,100  e  TV Azteca S.A. de C.V.   102 
 2,661,116     Twenty-First Century Fox, Inc   132,231 
 936,302     Twenty-First Century Fox, Inc (Class B)   46,132 
 13,800  e  Vector, Inc   285 
 1,185,600     VGI Global Media PCL   276 
 186,493     VHQ Media Holdings Ltd   1,020 
 18,246  e  Viacom, Inc   647 
 2,060,197     Viacom, Inc (Class B)   62,136 
 47,077     Village Roadshow Ltd   80 
 1,813,600  *,e  Viva China Holdings Ltd   202 
 531,796     Vivendi Universal S.A.   13,009 
 3,815,585     Walt Disney Co   399,911 
 2,484,417     West Australian Newspapers Holdings Ltd   1,542 
 46,676  *,e  WideOpenWest, Inc   451 
115

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 123,600     Workpoint Entertainment PCL  $141 
 456,618  e  World Wrestling Entertainment, Inc (Class A)   33,251 
 30,700     Wowow, Inc   974 
 518,310     WPP AUNZ Ltd   387 
 1,996,750     WPP plc   31,372 
 6,988  e  YG Entertainment, Inc   227 
 397,999  *  Zee Entertainment Enterprises Ltd   417 
 677,840  *  ZEE Telefilms Ltd   5,386 
 18,950     Zenrin Co Ltd   458 
       TOTAL MEDIA   2,372,476 
               
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 6.9%        
 1,105,000  *,g  3SBio, Inc   2,497 
 4,125,890     AbbVie, Inc   382,264 
 477,770     Abcam plc   8,393 
 46,780  *,e  Abeona Therapeutics, Inc   748 
 382,826  *,e  Acadia Pharmaceuticals, Inc   5,846 
 40,550  *,e  Accelerate Diagnostics, Inc   904 
 71,195  *  Acceleron Pharma, Inc   3,454 
 52,406  *,e  Achaogen, Inc   454 
 535,607  *  Achillion Pharmaceuticals, Inc   1,516 
 190,241  *,e  Aclaris Therapeutics, Inc   3,799 
 136,196  *  Acorda Therapeutics, Inc   3,909 
 33,239  *,e  Adamas Pharmaceuticals, Inc   859 
 234,818     Adcock Ingram Holdings Ltd   1,030 
 29,011  *  ADMA Biologics, Inc   131 
 293,793  *,e  Aduro Biotech, Inc   2,057 
 84,048  *,e  Adverum Biotechnologies, Inc   445 
 25,004  *  Aeglea BioTherapeutics, Inc   265 
 62,893  *,e  Aerie Pharmaceuticals, Inc   4,248 
 121,375  *,e  Agenus, Inc   276 
 1,246,270     Agilent Technologies, Inc   77,069 
 84,930  *,e  Agios Pharmaceuticals, Inc   7,154 
 65,578  *,e  Aimmune Therapeutics, Inc   1,763 
 50,214     Ajanta Pharma Ltd   721 
 21,808  *,e  Akcea Therapeutics, Inc   517 
 440,121  *  Akebia Therapeutics, Inc   4,392 
 175,858  *  Akorn, Inc   2,917 
 19,962  *  Albireo Pharma, Inc   709 
 89,506  *,e  Alder Biopharmaceuticals, Inc   1,414 
 24,422  *  Aldeyra Therapeutics, Inc   194 
 73,911     Alembic Pharmaceuticals Ltd   543 
 1,222,669  *  Alexion Pharmaceuticals, Inc   151,794 
 3,980  e  ALK-Abello AS   663 
 87,316  *  Alkermes plc   3,594 
 17,193  *,e  Allena Pharmaceuticals, Inc   224 
 2,319,311     Allergan plc   386,676 
 490,119     Alliance Pharma plc   633 
 102,643  *  Alnylam Pharmaceuticals, Inc   10,109 
 213,106  *  AMAG Pharmaceuticals, Inc   4,156 
 1,422,341     Amgen, Inc   262,550 
 8,292  *  Amicogen, Inc   233 
116

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 432,475  *,e  Amicus Therapeutics, Inc  $6,755 
 199,950  *  Amneal Pharmaceuticals, Inc   3,281 
 53,213  *  Amphastar Pharmaceuticals, Inc   812 
 121,754  *,e  Ampio Pharmaceuticals, Inc   268 
 28,278  *  AnaptysBio, Inc   2,009 
 40,265  *  ANI Pharmaceuticals, Inc   2,690 
 2,279  *  Anterogen Co Ltd   226 
 88,558  *,e  Apellis Pharmaceuticals, Inc   1,948 
 164,173  *,e  Aphria, Inc   1,482 
 285,632  *,e  Aratana Therapeutics, Inc   1,214 
 54,506  *  Arbutus Biopharma Corp   398 
 7,925  *,e  Arcus Biosciences, Inc   97 
 160,896  *  Ardelyx, Inc   595 
 193,558  *  Arena Pharmaceuticals, Inc   8,439 
 293,527  *  Arqule, Inc   1,623 
 896,896  *  Array Biopharma, Inc   15,050 
 131,974  *,e  Arrowhead Research Corp   1,795 
 7,121  *,e  Arsanis, Inc   26 
 100,817     Ascendis Health Ltd   81 
 189,100     ASKA Pharmaceutical Co Ltd   2,457 
 459,676     Aspen Pharmacare Holdings Ltd   8,631 
 77,468  *  Assembly Biosciences, Inc   3,038 
 2,617,360     Astellas Pharma, Inc   39,832 
 1,654,832     AstraZeneca plc   114,460 
 483,112  e  AstraZeneca plc (ADR)   16,962 
 61,824  *,e  Atara Biotherapeutics, Inc   2,272 
 13,079  *  ATGen Co Ltd   191 
 111,907  *,e  Athenex, Inc   2,088 
 232,756  *,e  Athersys, Inc   459 
 51,393  *  Audentes Therapeutics, Inc   1,964 
 28,873  *,e  Aurinia Pharmaceuticals, Inc   166 
 322,290     Aurobindo Pharma Ltd   2,858 
 295,319  *,e  Aurora Cannabis, Inc   2,089 
 156,898  *,e  AVEO Pharmaceuticals, Inc   355 
 120,055  *  Avid Bioservices, Inc   471 
 3,007     Bachem Holding AG.   396 
 8,013  *,e  Basilea Pharmaceutica   533 
 17,833  *,e  Bavarian Nordic AS   524 
 1,804,873     Bayer AG.   198,217 
 210,000  e  Beijing Tong Ren Tang Chinese Medicine Co Ltd   430 
 61,617  *,e  Bellicum Pharmaceuticals, Inc   455 
 16,925  *  Binex Co Ltd   163 
 302,215  *,e  BioCryst Pharmaceuticals, Inc   1,732 
 44,396     Biogaia AB (B Shares)   1,976 
 524,894  *  Biogen Idec, Inc   152,345 
 41,637  *,e  Biohaven Pharmaceutical Holding Co Ltd   1,645 
 568,493  *  BioMarin Pharmaceutical, Inc   53,552 
 63,664  *  Bio-Rad Laboratories, Inc (Class A)   18,370 
 32,069  *  Biospecifics Technologies Corp   1,439 
 206,301     Biotage AB   2,633 
 84,946     Bio-Techne Corp   12,568 
 10,752     Biotest AG. (Preference)   311 
 393,584  *,e  BioTime, Inc   811 
 139,092  *  Biovitrum AB   3,029 
117

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 186,952  *,e  Bluebird Bio, Inc  $29,342 
 77,709  *  Blueprint Medicines Corp   4,933 
 10,937     Boiron S.A.   928 
 347,141     Boryung Pharmaceutical Co Ltd   2,870 
 3,493,012  n  Bristol-Myers Squibb Co   193,303 
 605,293     Bruker BioSciences Corp   17,578 
 180,966  *  BTG plc   1,228 
 16,507     Bukwang Pharmaceutical Co Ltd   349 
 178,855  *  Cadila Healthcare Ltd   987 
 91,070  *  Calithera Biosciences, Inc   455 
 11,461  *,e  Calyxt, Inc   214 
 49,229  *  Cambrex Corp   2,575 
 9,311  *,e  Camurus AB   99 
 148,976  *,e  Canopy Growth Corp   4,354 
 11,394     Caplin Point Laboratories Ltd   71 
 39,562  *,e  Cara Therapeutics Inc   758 
 96,806  *,e  CareDx, Inc   1,185 
 2,389     Caregen Co Ltd   172 
 77,035  *,e  CASI Pharmaceuticals, Inc   634 
 307,492  *  Catalent, Inc   12,881 
 18,226  *  Catalyst Biosciences, Inc   213 
 362,898  *  Catalyst Pharmaceuticals, Inc   1,132 
 8,983  *  Celcuity, Inc   223 
 1,733,185  *  Celgene Corp   137,650 
 1,753     Cell Biotech Co Ltd   57 
 18,410  *,e  Cellectis S.A.   527 
 15,102  *  Celltrion Pharm Inc   1,225 
 74,511  *,e  Celltrion, Inc   20,244 
 17,912  *,e  Cellular Biomedicine Group, Inc   350 
 137,852  *  Center Laboratories, Inc   321 
 84,007  *  Charles River Laboratories International, Inc   9,431 
 347,439  *  ChemoCentryx, Inc   4,576 
 66,813  *  Chimerix, Inc   318 
 10,235,300  *,†,e,m  China Animal Healthcare Ltd   13 
 2,652,000  *  China Grand Pharmaceutical and Healthcare Holdings Ltd   1,864 
 1,169,900     China Medical System Holdings Ltd   2,330 
 3,345,000  *,e  China Regenerative Medicine International Ltd   55 
 1,535,000  g  China Resources Pharmaceutical Group Ltd   2,122 
 897,000     China Shineway Pharmaceutical Group Ltd   1,750 
 27,000     Chong Kun Dang Pharm Corp   1,571 
 3,685     Chong Kun Dang Pharmaceutical Corp   332 
 6,736     Choongwae Pharma Corp   210 
 59,026  *,e  ChromaDex Corp   219 
 452,318     Chugai Pharmaceutical Co Ltd   23,684 
 610,231  *  Cipla Ltd   5,482 
 1,660,000     CK Life Sciences International Holdings, Inc   114 
 79,290  *,e  Clearside Biomedical, Inc   848 
 64,446     Clinigen Group plc   779 
 152,059  *  Clovis Oncology, Inc   6,914 
 47,022  *  CMG Pharmaceutical Co Ltd   195 
 72,300     CMIC Co Ltd   1,497 
118

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 76,867  *,e  Codexis, Inc  $1,107 
 34,448  *  Cohbar, Inc   226 
 1,034,701  *,e  Coherus Biosciences, Inc   14,486 
 44,424  *,e  Collegium Pharmaceutical, Inc   1,060 
 165,860  *  Concert Pharmaceuticals Inc   2,791 
 2,092,000     Consun Pharmaceutical Group Ltd   1,951 
 72,992  *,e  Corbus Pharmaceuticals Holdings, Inc   369 
 290,872  *,e  Corcept Therapeutics, Inc   4,573 
 41,242  *,e  Corium International, Inc   330 
 21,207  *,e  Corvus Pharmaceuticals, Inc   233 
 4,048  e  COSMO Pharmaceuticals NV   456 
 16,052  *,h  CrystalGenomics, Inc   331 
 658,290     CSL Ltd   93,703 
 9,938,961     CSPC Pharmaceutical Group Ltd   29,845 
 78,861  *,e  CTI BioPharma Corp   393 
 26,824  *,e  Cue Biopharma, Inc   318 
 171,943  *  Cymabay Therapeutics, Inc   2,307 
 71,093  *  Cytokinetics, Inc   590 
 219,617  *  CytomX Therapeutics, Inc   5,020 
 8,067     Dae Hwa Pharmaceutical Co Ltd   157 
 93,602     Daewon Pharmaceutical Co Ltd   1,678 
 210,257     Daewoong Co Ltd   3,358 
 2,868     Daewoong Pharmaceutical Co Ltd   504 
 1,379,852     Daiichi Sankyo Co Ltd   52,715 
 851,000     Dawnrays Pharmaceutical Holdings Ltd   527 
 12,041  *,e  DBV Technologies S.A.   464 
 245,142     Dechra Pharmaceuticals plc   8,972 
 10,686  *  Deciphera Pharmaceuticals, Inc   420 
 24,645  *,e  Denali Therapeutics, Inc   376 
 85,429  *  Depomed, Inc   570 
 57,605  *  Dermira, Inc   530 
 68,558  *  Dicerna Pharmaceuticals Inc   840 
 156,002  *  Dishman Carbogen Amcis India Ltd   597 
 2,090     Dong-A Pharmaceutical Co Ltd   192 
 2,924     Dong-A ST Co Ltd   230 
 25,065     DongKook Pharmaceutical Co Ltd   1,444 
 10,634  *  Dongsung Pharmaceutical Co Ltd   145 
 18,184  *,e  Dova Pharmaceuticals, Inc   544 
 107,711     Dr Reddy’s Laboratories Ltd   3,505 
 307,685  *  Durect Corp   480 
 259,968  *  Dynavax Technologies Corp   3,965 
 15,668  *,e  Eagle Pharmaceuticals, Inc   1,185 
 141,206  *,e  Editas Medicine, Inc   5,059 
 199,375     Eisai Co Ltd   14,034 
 1,547,735     Eli Lilly & Co   132,068 
 33,201  *,e  Eloxx Pharmaceuticals, Inc   567 
 185,321  *  Emergent Biosolutions, Inc   9,357 
 25,474  *  Enanta Pharmaceuticals, Inc   2,952 
 1,011,313  *  Endo International plc   9,537 
 98,545  *  Endocyte, Inc   1,360 
 445,617  *  Enzo Biochem, Inc   2,313 
 4,953  *  Enzychem Lifesciences Corp   377 
 136,390  *,e  Epizyme, Inc   1,848 
 16,500     EPS Co Ltd   353 
119

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 45,501  *,g  Eris Lifesciences Ltd  $455 
 34,636  *,e  Esperion Thereapeutics, Inc   1,357 
 13,668  e  Eurofins Scientific   7,580 
 8,223  *,e  Evelo Biosciences, Inc   97 
 8,108  *,e  Evolus, Inc   227 
 73,483  *,e  Evotec AG.   1,254 
 333,700  *,e  Exact Sciences Corp   19,952 
 613,759  *  Exelixis, Inc   13,208 
 484,683     Faes Farma S.A. (Sigma)   2,049 
 72,569  *,e  Fate Therapeutics, Inc   823 
 68,442     FDC Ltd   225 
 17,379  *  Fennec Pharmaceuticals, Inc   181 
 206,990  *  FibroGen, Inc   12,958 
 49,322  *  Five Prime Therapeutics, Inc   780 
 51,064  *,e  Flexion Therapeutics Inc   1,320 
 57,331  *,e  Fluidigm Corp   342 
 49,558  *,e  Fortress Biotech, Inc   148 
 23,183  *,e  Foundation Medicine, Inc   3,169 
 43,200     Fuji Pharma Co Ltd   741 
 30,938  *,e  G1 Therapeutics, Inc   1,345 
 21,942  *  Galapagos NV   2,021 
 2,027  *  Galapagos NV   187 
 46,046  g  Galenica AG.   2,441 
 8,119  *  Genexine Co Ltd   676 
 15,584  *,e  Genfit   427 
 14,107  *  Genmab AS   2,171 
 161,895  *  Genomic Health, Inc   8,160 
 506,600  *,e  Genomma Lab Internacional S.A. de C.V.   423 
 1,178,000  *,e  Genscript Biotech Corp   3,221 
 55,216     Genus plc   1,915 
 241,578  *,e  Geron Corp   829 
 83,791     Gerresheimer AG.   6,779 
 4,728,513     Gilead Sciences, Inc   334,968 
 5,993,131     GlaxoSmithKline plc   120,827 
 113,449     Glenmark Pharmaceuticals Ltd   965 
 75,979  *  Global Blood Therapeutics, Inc   3,434 
 51,899  *,e  GlycoMimetics Inc   837 
 7,600  *,e  GNI Group Ltd   334 
 237,797     Granules India Ltd   280 
 3,433     Green Cross Cell Corp   115 
 3,687     Green Cross Corp   683 
 17,780     Green Cross Holdings Corp   531 
 2,931     Green Cross LabCell Corp   125 
 46,638     Grifols S.A.   1,398 
 7,062  *,e  GTx, Inc   108 
 8  *,m  GW Pharmaceuticals plc    0^
 106,271     H Lundbeck AS   7,448 
 434,919  *  Halozyme Therapeutics, Inc   7,337 
 14,938  *  Han All Pharmarceutical Co   334 
 4,718     Handok Pharmaceuticals Co Ltd   116 
 5,946     Hanmi Pharm Co Ltd   2,244 
 10,371  e  Hanmi Science Co Ltd   601 
 16,761  *,e  Hansa Medical AB   376 
120

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 68,463  *  Harvard Bioscience, Inc  $366 
 12,400  *,e  HEALIOS KK   180 
 97,017  *  Heron Therapeutics, Inc   3,769 
 84,630     Hikma Pharmaceuticals plc   1,669 
 66,670     Hisamitsu Pharmaceutical Co, Inc   5,618 
 16,021  *,e  Homology Medicines, Inc   327 
 349,698  *  Horizon Pharma plc   5,791 
 2,548,684  *,m  Hua Han Bio-Pharmaceutical Holdings Ltd   20 
 1,480  *  Hugel, Inc   640 
 2,877     Humedix Co Ltd   78 
 2,842     Huons Co Ltd   233 
 308,267     Hypermarcas S.A.   2,196 
 217,155  *,e  Idera Pharmaceuticals, Inc   287 
 42,414  *  Idorsia Ltd   1,119 
 52,658     Il Dong Pharmaceutical Co Ltd   1,008 
 614,633  *  Illumina, Inc   171,661 
 8,282     Ilyang Pharmaceutical Co Ltd   240 
 171,186  *,e  Immune Design Corp   779 
 1,130,167  *  Immunogen, Inc   10,997 
 200,413  *,e  Immunomedics, Inc   4,744 
 202,200  *  Incyte Corp   13,547 
 1,161,422  *  Indivior plc   5,848 
 24,284  *,e  Innate Pharma S.A.   132 
 50,374  *,e  Innovate Biopharmaceuticals, Inc   1,187 
 337,924  *  Innoviva, Inc   4,663 
 120,711  *,e  Inovio Pharmaceuticals, Inc   473 
 181,030  *  Insmed, Inc   4,281 
 37,101  *,e  Insys Therapeutics, Inc   269 
 50,376  *,e  Intellia Therapeutics, Inc   1,378 
 76,820  *,e  Intercept Pharmaceuticals, Inc   6,446 
 182,964  *  Intersect ENT, Inc   6,852 
 107,152  *  Intra-Cellular Therapies, Inc   1,893 
 111,755  *,e  Intrexon Corp   1,558 
 6,841  *  iNtRON Biotechnology, Inc   238 
 137,150  *,e  Invitae Corp   1,008 
 207,562  *,e  Ionis Pharmaceuticals, Inc   8,649 
 557,032  *  Iovance Biotherapeutics, Inc   7,130 
 27,099     Ipca Laboratories Ltd   277 
 82,623     Ipsen   12,923 
 246,226  *  IQVIA Holdings, Inc   24,578 
 210,629  *,e  Ironwood Pharmaceuticals, Inc   4,027 
 8,500  *  Japan Tissue Engineering Co Lt   93 
 641,415  *  Jazz Pharmaceuticals plc   110,516 
 10,100     JCR Pharmaceuticals Co Ltd   613 
 4,114     Jeil Pharmaceutical Co Ltd   135 
 22,500     Jiangsu Hengrui Medicine Co Ltd   257 
 6,889,091     Johnson & Johnson   835,922 
 23,360  *,e  Jounce Therapeutics, Inc   179 
 188,646     Jubilant Organosys Ltd   1,928 
 346,593     JW Holdings Corp   2,458 
 107,231  *,e  Kadmon Holdings, Inc   428 
 54,600     Kaken Pharmaceutical Co Ltd   2,801 
 21,157  *  Kala Pharmaceuticals, Inc   290 
 26,300  *  Kangmei Pharmaceutical Co Ltd   91 
121

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 547,367  *  Karyopharm Therapeutics, Inc  $9,300 
 143,035  *,e  Keryx Biopharmaceuticals, Inc   538 
 37,499  *  Kindred Biosciences Inc   399 
 71,700     Kissei Pharmaceutical Co Ltd   1,942 
 68,686  *  Knight Therapeutics, Inc   421 
 4,245  e  Kolon Life Science, Inc   273 
 22,156  *  Komipharm International Co Ltd   543 
 105,827     Korea United Pharm Inc   2,451 
 37,305  *,e  Kura Oncology, Inc   679 
 167,504     Kwang Dong Pharmaceutical Co Ltd   1,153 
 58,359     Kyongbo Pharmaceutical Co Ltd   649 
 78,336     Kyorin Co Ltd   1,626 
 332,072     Kyowa Hakko Kogyo Co Ltd   6,684 
 32,476  *,e  La Jolla Pharmaceutical Co   947 
 34,069     Laboratorios Almirall S.A.   455 
 42,255  *,e  Lannett Co, Inc   575 
 22,779  g  Laurus Labs Ltd   154 
 168,000     Lee’s Pharmaceutical Holdings Ltd   218 
 5,029  *  LegoChem Biosciences, Inc   177 
 104,902  *,e  Lexicon Pharmaceuticals, Inc   1,259 
 65,300  *,e  Ligand Pharmaceuticals, Inc (Class B)   13,528 
 7,000     Linical Co Ltd   157 
 806,864     Lonza Group AG.   213,211 
 60,000  *  Lotus Pharmaceutical Co Ltd   151 
 54,354  *  Loxo Oncology, Inc   9,429 
 231,715     Luminex Corp   6,843 
 195,915  *  Lupin Ltd   2,585 
 1,365,500  e  Luye Pharma Group Ltd   1,395 
 147,344  *  MacroGenics, Inc   3,043 
 8,835  *  Madrigal Pharmaceuticals, Inc   2,471 
 368,713  *,e  Mallinckrodt plc   6,880 
 216,227  *,e  MannKind Corp   411 
 202,972  *  Marinus Pharmaceuticals, Inc   1,435 
 764,766  *,e  Mayne Pharma Group Ltd   492 
 113,824  *,e  Medicines Co   4,177 
 59,163  *,e  MediciNova, Inc   471 
 46,258  *  Medpace Holdings, Inc   1,989 
 30,685  *  MedReleaf Corp   630 
 4,929     Medy-Tox, Inc   3,389 
 213,100     Mega Lifesciences PCL   256 
 67,136  *,e  Melinta Therapeutics, Inc   426 
 9,937  *,e  Menlo Therapeutics, Inc   81 
 132,662     Merck KGaA   12,914 
 379,439  *,e  Merrimack Pharmaceuticals, Inc   1,863 
 18,866  *,e  Mersana Therapeutics, Inc   337 
 209,562  *,e  Mesoblast Ltd   228 
 44,319  *  Mettler-Toledo International, Inc   25,644 
 3,665  *  Mezzion Pharma Co Ltd   178 
 154,136  *,e  MiMedx Group, Inc   985 
 150,552  *,e  Minerva Neurosciences, Inc   1,242 
 82,100  *,e  Miragen Therapeutics, Inc   526 
 44,159  *,e  Mirati Therapeutics, Inc   2,177 
 7,879  *,e  Mithra Pharmaceuticals S.A.   289 
122

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 22,100     Mochida Pharmaceutical Co Ltd  $1,609 
 5,649  *,e  Molecular Partners AG.   131 
 13,853  *  Molecular Templates, Inc   72 
 223,381  *  Momenta Pharmaceuticals, Inc   4,568 
 17,231  *  Morphosys AG.   2,103 
 25,553  *  Mustang Bio, Inc   176 
 2,717,835  *  Mylan NV   98,223 
 54,449  *  MyoKardia, Inc   2,703 
 99,893  *  Myriad Genetics, Inc   3,733 
 92,476  *  NanoString Technologies, Inc   1,265 
 44,715  *,e  NantKwest, Inc   137 
 96,096     Natco Pharma Ltd   1,131 
 188,997  *  Natera, Inc   3,557 
 9,729  *  Naturalendo Tech Co Ltd   198 
 215,973  *  Nektar Therapeutics   10,546 
 211,421  *,e  NeoGenomics, Inc   2,772 
 43,200  *,e  Neos Therapeutics, Inc   270 
 253,952  *  Neurocrine Biosciences, Inc   24,948 
 41,770  *,e  NewLink Genetics Corp   199 
 389,050  e  Nichi-iko Pharmaceutical Co Ltd   5,734 
 26,800     Nippon Shinyaku Co Ltd   1,663 
 25,649  *,e  Nordic Nanovector ASA   190 
 3,044,397     Novartis AG.   230,616 
 709,808  *,e  Novavax, Inc   951 
 3,103,397     Novo Nordisk AS   143,348 
 44,262  *,e  Nymox Pharmaceutical Corp   149 
 71,000  *  OBI Pharma, Inc   363 
 48,828  *,e  Ocular Therapeutix, Inc   330 
 10,511  *,e  Odonate Therapeutics, Inc   232 
 210,472  *,e  Omeros Corp   3,818 
 15,137  *,e,g  Oncopeptides AB   271 
 356,238     Ono Pharmaceutical Co Ltd   8,340 
 569,911  *,e  Opko Health, Inc   2,679 
 35,935  *,e  Optinose, Inc   1,005 
 148,678  *,e  Organovo Holdings, Inc   208 
 141,978     Orion Oyj (Class B)   3,818 
 17,712  *  Oscotec, Inc   320 
 66,755     Otsuka Holdings KK   3,229 
 21,151  *,e  Ovid therapeutics, Inc   165 
 13,858  *  Oxford Biomedica plc   180 
 264,322  *,e  Pacific Biosciences of California, Inc   938 
 131,922  *  Pacira Pharmaceuticals, Inc   4,228 
 2,559,486  *,e  Paion AG.   6,262 
 300,868  *  Palatin Technologies, Inc   292 
 47,182  *,e  Paratek Pharmaceuticals, Inc   481 
 231,966  *  PDL BioPharma, Inc   543 
 166,800     Pengqi Technology Development Co Ltd   83 
 54,100  *,e  PeptiDream, Inc   2,248 
 3,662  *  Peptron, Inc   169 
 285,012  *  PerkinElmer, Inc   20,871 
 112,633     Perrigo Co plc   8,212 
 32,762  *  Pfenex, Inc   177 
 14,744     Pfizer Ltd   555 
 17,390,417     Pfizer, Inc   630,924 
123

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 111,452  *,e  Pharma Mar S.A.  $198 
 2,394     PHARMA RESEARCH PRODUCTS Co Ltd   83 
 149,472     PharmaEngine Inc   702 
 66,000  *  PharmaEssentia Corp   432 
 29,902     Pharmally International Holding Co Ltd   369 
 37,885  *  Pharmicell Co Ltd   539 
 4,339,076  *  Pharming Group NV   7,043 
 191,326     Phibro Animal Health Corp   8,811 
 257,253  *,e  Pieris Pharmaceuticals, Inc   1,304 
 107,994  *  Piramal Healthcare Ltd   3,998 
 13,391  *,e  PolarityTE, Inc   315 
 140,109  *,e  Portola Pharmaceuticals, Inc   5,292 
 95,487  *  PRA Health Sciences, Inc   8,915 
 81,004  *  Prestige Brands Holdings, Inc   3,109 
 3,575     Probi AB   145 
 233,686  *,e  Progenics Pharmaceuticals, Inc   1,879 
 368,113  *,e  Prometic Life Sciences, Inc   146 
 17,083  *  Prostemics Co Ltd   106 
 38,603  *  Proteostasis Therapeutics, Inc   108 
 58,801  *,e  Prothena Corp plc   857 
 16,671,831     PT Kalbe Farma Tbk   1,418 
 216,299  *  PTC Therapeutics, Inc   7,296 
 44,252  *  Puma Biotechnology, Inc   2,617 
 505,790     QIAGEN NV   18,289 
 296,996  *  QIAGEN NV (Turquoise)   10,766 
 7,599  *,e  Quanterix Corp   109 
 63,836  *  Ra Pharmaceuticals, Inc   635 
 61,607  *,e  Radius Health, Inc   1,816 
 24,068  *,e  Reata Pharmaceuticals, Inc   842 
 25,147     Recipharm AB   375 
 74,526     Recordati S.p.A.   2,953 
 22,185  *  Recro Pharma, Inc   111 
 107,794  *  Regeneron Pharmaceuticals, Inc   37,188 
 184,672  *  REGENXBIO, Inc   13,250 
 59,063  *  Repligen Corp   2,778 
 10,311  *,e  resTORbio, Inc   94 
 678,226  *  Retrophin, Inc   18,488 
 96,126  *,e  Revance Therapeutics, Inc   2,639 
 4,235     Reyon Pharmaceutical Co Ltd   76 
 18,663  *  Rhythm Pharmaceuticals, Inc   583 
 155,891     Richter Gedeon Rt   2,839 
 248,413  *  Rigel Pharmaceuticals, Inc   703 
 596,861     Roche Holding AG.   132,418 
 32,219  *,e  Rocket Pharmaceuticals, Inc   632 
 171,917     Rohto Pharmaceutical Co Ltd   5,508 
 138,765  *,e  Sage Therapeutics, Inc   21,721 
 10,319     Sam Chun Dang Pharm Co Ltd   321 
 61,918     Samjin Pharmaceutical Co Ltd   2,505 
 20,919  *,e,g  Samsung Biologics Co Ltd   7,830 
 13,900  *,e  SanBio Co Ltd   361 
 379,970  *,e  Sangamo Biosciences, Inc   5,396 
 7,376     Sanofi India Ltd   558 
 1,002,838     Sanofi-Aventis   80,487 
124

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 224,491     Santen Pharmaceutical Co Ltd  $3,905 
 136,667  *,e  Sarepta Therapeutics, Inc   18,065 
 49,471  *,e  Savara, Inc   560 
 21,900     Sawai Pharmaceutical Co Ltd   996 
 7,675,271     Schering-Plough Corp   465,889 
 50,057  *  Schnell Biopharmaceuticals, Inc   170 
 154,960     Scinopharm Taiwan Ltd   165 
 2,319  *,e  scPharmaceuticals, Inc   13 
 48,083     Searle Co Ltd   134 
 515,683  *  Seattle Genetics, Inc   34,236 
 51,552  *  Seegene, Inc   1,290 
 1,066,800     Seikagaku Corp   14,306 
 24,449  *,e  Selecta Biosciences, Inc   324 
 37,766  *,e  Seres Therapeutics, Inc   325 
 580,000     Shandong Xinhua Pharmaceutical Co Ltd   515 
 460,251     Shanghai Fosun Pharmaceutical Group Co Ltd   2,516 
 1,400  *  Shanghai Fosun Pharmaceutical Group Co Ltd   9 
 159,000  e  Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co Ltd   74 
 309,000     Shanghai Haixin Group Co   147 
 27,000  g  Shanghai Haohai Biological Technology Co Ltd   168 
 14,815     Shilpa Medicare Ltd   86 
 340,318     Shionogi & Co Ltd   17,463 
 1,329,863     Shire Ltd   74,923 
 742     Shire plc (ADR)   125 
 9,074     Siegfried Holding AG.   3,627 
 23,577  *,e  Sienna Biopharmaceuticals, Inc   358 
 90,588  *  SIGA Technologies, Inc   538 
 3,315,000     Sihuan Pharmaceutical Holdings   736 
 47,526  *,e  SillaJen, Inc   3,120 
 22,438,307     Sino Biopharmaceutical   34,268 
 89,076     Sirtex Medical Ltd   2,070 
 6,654  *  Solara Active Pharma Sciences Ltd   22 
 13,852  *,e  Solid Biosciences, Inc   494 
 131,813  *,e  Sorrento Therapeutics, Inc   949 
 40,000  *,e  Sosei Group   643 
 47,791  *,e  Spark Therapeutics, Inc   3,955 
 202,850  *  Spectrum Pharmaceuticals, Inc   4,252 
 9,208  *,e  Spero Therapeutics, Inc   135 
 17,028  *,e  Spring Bank Pharmaceuticals, Inc   202 
 1,686,000     SSY Group Ltd   1,867 
 4,266     ST Pharm Co Ltd   140 
 57,671     Stada Arzneimittel AG.   5,417 
 2,269  *  Stallergenes Greer plc   81 
 40,231  *  Stemline Therapeutics, Inc   646 
 12,193     Strides Arcolab Ltd   70 
 281,975     Sumitomo Dainippon Pharma Co Ltd   5,960 
 37,586  *  Sun Pharma Advanced Research Company Ltd   204 
 820,252     Sun Pharmaceutical Industries Ltd   6,762 
 161,833  *  Supernus Pharmaceuticals, Inc   9,686 
 11,146  *  Surface Oncology, Inc   182 
 27,298     Suven Life Sciences Ltd   83 
 22,826  *  Syndax Pharmaceuticals, Inc   160 
 158,100  *  Syneos Health, Inc   7,415 
125

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 368,832  *,e  Synergy Pharmaceuticals, Inc  $642 
 30,692  g  Syngene International Ltd   273 
 23,625  *  Synlogic, Inc   232 
 54,395  *  Syros Pharmaceuticals, Inc   555 
 77,860  *  T2 Biosystems, Inc   603 
 183,799  *  Taigen Biopharmaceuticals Holdings Ltd   129 
 167,000  *  TaiMed Biologics, Inc   1,705 
 13,368     Taisho Pharmaceutical Holdings Co Ltd   1,564 
 37,500     Takara Bio, Inc   782 
 428,205     Takeda Pharmaceutical Co Ltd   18,014 
 541,575     Tanabe Seiyaku Co Ltd   9,350 
 43,000  *  Tanvex BioPharma, Inc   144 
 21,546     Tecan Group AG.   5,229 
 1,386  *  Tego Science, Inc   106 
 66,473  *,e  Teligent, Inc   230 
 610,861  *,e  TESARO, Inc   27,165 
 121,109  *  Tetraphase Pharmaceuticals, Inc   432 
 4,761,962     Teva Pharmaceutical Industries Ltd (ADR)   115,811 
 89,700  *,e  TG Therapeutics, Inc   1,180 
 16,065  *  Theragen Etex Co Ltd   157 
 255,762  *,e  TherapeuticsMD, Inc   1,596 
 44,826  *,e  Theratechnologies, Inc   432 
 65,103  *,e  Theravance Biopharma, Inc   1,477 
 729,498     Thermo Fisher Scientific, Inc   151,108 
 25,360  *,e  Tocagen, Inc   237 
 591,000     Tong Ren Tang Technologies Co Ltd   937 
 30,100  e  Torii Pharmaceutical Co Ltd   731 
 64,000     Towa Pharmaceutical Co Ltd   3,424 
 38,800     Tsumura & Co   1,253 
 150,917     TTY Biopharm Co Ltd   482 
 34,000  *  TWi Pharmaceuticals, Inc   85 
 84,231  *,e  Tyme Technologies, Inc   266 
 105,450     UCB S.A.   8,266 
 112,364  *  Ultragenyx Pharmaceutical, Inc   8,637 
 38,972     Unichem Laboratories Ltd   134 
 7,473,500  e  United Laboratories Ltd   7,771 
 62,680  *  United Therapeutics Corp   7,092 
 7,741  *,e  UNITY Biotechnology, Inc   117 
 5,436  *  Unum Therapeutics, Inc   78 
 11,425  *  UroGen Pharma Ltd   569 
 399,542  *  Valeant Pharmaceuticals International, Inc   9,300 
 653,941  *  Vanda Pharmaceuticals, Inc   12,458 
 340,515  *  Vectura Group plc   350 
 106,372  *  Veracyte, Inc   994 
 81,598  *  Verastem, Inc   561 
 56,945  *  Vericel Corp   552 
 718,767  *  Vertex Pharmaceuticals, Inc   122,162 
 242,251     Vifor Pharma AG.   38,642 
 67,220  *  Viking Therapeutics, Inc   638 
 2,342  *  Virbac S.A.   319 
 17,265  *,e  ViroMed Co Ltd   3,644 
 46,624  *,e  Vital Therapies, Inc   319 
 38,644     Vitrolife AB   564 
126

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 72,512  *,e  Voyager Therapeutics, Inc  $1,417 
 170,973  *  Waters Corp   33,099 
 26,669  *,e  WaVe Life Sciences Pte Ltd   1,020 
 142,642     Whanin Pharmaceutical Co Ltd   2,673 
 2,268,000     Winteam Pharmaceutical Group Ltd   1,957 
 15,180     Wockhardt Ltd   142 
 715,000  *,g  Wuxi Biologics Cayman, Inc   7,932 
 126,274  *  Xencor Inc   4,673 
 8,757  *  XOMA Corp   183 
 174,000  e,g  YiChang HEC ChangJiang Pharmaceutical Co Ltd   882 
 8,173     Yuhan Corp   1,595 
 55,496  *,e  Yungjin Pharmaceutical Co Ltd   370 
 6,100  *  Yunnan Baiyao Group Co Ltd   98 
 35,013  *,e  Zafgen, Inc   358 
 58,800  *,e  Zai Lab Ltd (ADR)   1,367 
 16,698  *,e  Zealand Pharma AS   219 
 74,200     Zeria Pharmaceutical Co Ltd   1,603 
 6,900     Zhangzhou Pientzehuang Pharmaceutical Co Ltd   116 
 194,464  *,e  ZIOPHARM Oncology, Inc   587 
 2,542,281     Zoetis, Inc   216,577 
 71,792  *  Zogenix, Inc   3,173 
 60,529  *,e  Zomedica Pharmaceuticals Corp   136 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   8,419,400 
               
REAL ESTATE - 3.6%        
 18,050,000     8990 Holdings, Inc   2,489 
 432,523     Abacus Property Group   1,207 
 126,084     Acadia Realty Trust   3,451 
 523     Activia Properties Inc   2,397 
 41,566  *  ADLER Real Estate AG.   699 
 100,215  g  ADO Properties S.A.   5,447 
 1,439  *  Advance Residence Investment Corp   3,687 
 191,885  *,e,g  Aedas Homes SAU   6,812 
 10,492     Aedifica S.A.   957 
 9,594     Aeon Mall Co Ltd   172 
 8,547  *  AEON REIT Investment Corp   9,863 
 1  *  Africa Israel Investments Ltd    0^
 7,635  *  Africa Israel Properties Ltd   174 
 1,556,000     Agile Property Holdings Ltd   2,647 
 189,576     Agree Realty Corp   10,004 
 485,841  e  AIMS AMP Capital Industrial REIT   491 
 89,821  *  Airport City Ltd   997 
 3,828,715     Aldar Properties PJSC   2,108 
 137,571     Alexander & Baldwin, Inc   3,233 
 3,218     Alexander’s, Inc   1,231 
 223,263     Alexandria Real Estate Equities, Inc   28,169 
 7,620     Aliansce Shopping Centers S.A.   29 
 10,231,246  e  Allco Commercial Real Estate Investment Trust   10,365 
 26,491     Allied Properties Real Estate Investment Trust   843 
 9,813     Allreal Holding AG.   1,599 
 70,222     Alony Hetz Properties & Investments Ltd   646 
 328,465     Alstria Office REIT-AG.   4,935 
 17,455  *,e  Altisource Portfolio Solutions S.A.   509 
127

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 81,479  e  Altus Group Ltd  $1,817 
 332,600     Amata Corp PCL (Foreign)   187 
 449,282     American Assets Trust, Inc   17,203 
 281,109     American Campus Communities, Inc   12,054 
 851,015     American Homes 4 Rent   18,875 
 3,027  *  American Realty Investors, Inc   48 
 750,900  e  American Tower Corp   108,257 
 102,297     Americold Realty Trust   2,253 
 262,306     Amot Investments Ltd   1,314 
 1,083,900     Ananda Development PCL (Foreign)   156 
 293,434  e  Apartment Investment & Management Co (Class A)   12,412 
 473,138     Apple Hospitality REIT, Inc   8,460 
 497,644     Argosy Property Ltd   361 
 139,883     Armada Hoffler Properties, Inc   2,084 
 634,828     Aroundtown S.A.   5,218 
 610,490     Arrowhead Properties Ltd (Class A)   259 
 334,622     Artis Real Estate Investment Trust   3,337 
 384,600     Ascendas Hospitality Trust   220 
 731,808     Ascendas REIT   1,417 
 820,091  e  Ascott Residence Trust   644 
 128,432     Ashford Hospitality Trust, Inc   1,040 
 654,260     Asian Property Development PCL (Foreign)   161 
 1,816,984     Assura Group Ltd   1,380 
 398,802  *  Attacq Ltd   494 
 17,784  *  AV Homes, Inc   381 
 280,459     AvalonBay Communities, Inc   48,208 
 533,962     Aventus Retail Property Fund Ltd   884 
 330,605  e  Aveo Group   594 
 1,366,000  *,e  AVIC International Holding HK Ltd   45 
 510,623     Axis Real Estate Investment Trust   185 
 7,166,315     Ayala Land, Inc   5,088 
 4,761,352  *,m  AZ BGP Holdings   115 
 29,624     Azrieli Group   1,472 
 5,114,200     Bangkok Land PCL   287 
 89,932  *  Barwa Real Estate Co   845 
 1,682     Bayside Land Corp   726 
 21,073     Befimmo SCA Sicafi   1,299 
 4,842,000     Beijing Capital Land Ltd   2,079 
 831,460  e  Beni Stabili S.p.A.   728 
 10,071     Big Shopping Centers Ltd   681 
 456,535     Big Yellow Group plc   5,723 
 1,392     BLife Investment Corp   3,306 
 3,450     Blue Square Real Estate Ltd   119 
 95,344  e  Bluerock Residential Growth REIT, Inc   850 
 27,311     Boardwalk REIT   949 
 534,472     Boston Properties, Inc   67,033 
 1,278,862     BR Malls Participacoes S.A.   3,201 
 87,108     BR Properties S.A.   205 
 1,457  *  Brack Capital Properties NV   159 
 178,963     BraeMar Hotels & Resorts, Inc   2,044 
 230,191     Brandywine Realty Trust   3,886 
 473,524     British Land Co plc   4,189 
 410,921     Brixmor Property Group, Inc   7,162 
128

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 12,666     Brt Realty Trust  $161 
 661,639  e  Bunnings Warehouse Property Trust   1,591 
 50,816     BUWOG AG.   1,709 
 29,522,014     C C Land Holdings Ltd   6,577 
 133,000     C&D International Investment Group Ltd   129 
 180,561     CA Immobilien Anlagen AG.   6,018 
 678,420  e  Cache Logistics Trust   383 
 815,963     Cambridge Industrial Trust   305 
 445,644     Camden Property Trust   40,612 
 190,139     Canadian Apartment Properties REIT   6,166 
 851,037     CapitaCommercial Trust   1,036 
 457,930     Capital & Counties Properties   1,732 
 232,056     Capital & Regional plc   156 
 2,672,218     CapitaLand Ltd   6,185 
 1,278,625     CapitaMall Trust   1,944 
 40,500     CapitaMalls Malaysia Trust   12 
 372,232     CapitaRetail China Trust   415 
 635,843     CareTrust REIT, Inc   10,612 
 4,762,500  *,e  Carnival Group International Holdings Ltd   197 
 331,944     Castellum AB   5,369 
 325,702     CatchMark Timber Trust Inc   4,146 
 470,300     Cathay Real Estate Development Co Ltd   247 
 253,571  e  CBL & Associates Properties, Inc   1,412 
 898,336  *  CBRE Group, Inc   42,887 
 1,973,320     CDL Hospitality Trusts   2,273 
 15,000,000     Cebu Holdings, Inc   1,658 
 437,446     Cedar Realty Trust, Inc   2,065 
 64,282     Cedar Woods Properties Ltd   274 
 485,000     Central China Real Estate Ltd   226 
 938,358     Central Pattana PCL (Foreign)   1,975 
 321,365  e  Centuria Industrial REIT   612 
 4,824,636     Champion Real Estate Investment Trust   3,200 
 1,203,280     Charter Hall Group   5,807 
 181,046  e  Charter Hall Long Wale REIT   589 
 66,671     Chatham Lodging Trust   1,415 
 89,156     Chesapeake Lodging Trust   2,821 
 4,217,722     Cheuk Nang Holdings Ltd   2,419 
 3,356,000  e  China Aoyuan Property Group Ltd   2,443 
 1,920,000     China Electronics Optics Valley Union Holding Co Ltd   149 
 4,008,663  *,e  China Evergrande Group   10,178 
 32,900     China Fortune Land Development Co Ltd   127 
 389,000  *,e,g  China Logistics Property Holdings Co Ltd   126 
 7,392,000     China Merchants Land Ltd   1,268 
 35,400     China Merchants Shekou Industrial Zone Holdings Co Ltd   102 
 9,385,021  *  China New Town Development Co Ltd   311 
 960,000  e  China Overseas Grand Oceans Group Ltd   352 
 12,510,858     China Overseas Land & Investment Ltd   41,063 
 820,000  e  China Overseas Property Holdings Ltd   270 
 6,015,801     China Resources Land Ltd   20,207 
 15,770,400     China SCE Property Holdings Ltd   7,452 
 2,502,115     China Vanke Co Ltd   8,726 
 63,800     China Vanke Co Ltd (Class A)   237 
129

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 279,000  g  China Vast Industrial Urban Development Co Ltd  $124 
 623,500  e  Chinese Estates Holdings Ltd   809 
 100,099     Choice Properties REIT   922 
 142,088     Chong Hong Construction Co   438 
 3,492,000     CIFI Holdings Group Co Ltd   2,212 
 124,744     City Developments Ltd   999 
 175,430     City Office REIT, Inc   2,251 
 272,714  e  Citycon Oyj   589 
 424,676     Civitas Social Housing plc   600 
 2,551,071     CK Asset Holdings Ltd   20,195 
 23,466  e  Clipper Realty, Inc   200 
 42,764     Cofinimmo   5,274 
 99,771     Colliers International Group, Inc   7,591 
 947,547  e  Colony Capital, Inc   5,913 
 206,000     Colour Life Services Group   206 
 430,557     Columbia Property Trust, Inc   9,778 
 329  *,e  Comforia Residential REIT, Inc   776 
 54,481     Cominar Real Estate Investment Trust   531 
 25,667     Community Healthcare Trust, Inc   767 
 662,400     Concentradora Fibra Danhos S.A. de C.V.   984 
 522,700  g  Concentradora Fibra Hotelera Mexicana S.A. de C.V.   303 
 6,237     Consolidated-Tomoka Land Co   384 
 15,048  *  Consus Real Estate AG.   130 
 401,098     CoreCivic, Inc   9,582 
 18,506  e  CorEnergy Infrastructure Trust, Inc   696 
 60,570  *  CorePoint Lodging, Inc   1,569 
 63,848     Coresite Realty   7,076 
 6,880     Corestate Capital Holding S.A.   368 
 2,118,236  e  Corp Inmobiliaria Vesta SAB de C.V.   2,765 
 84,148     Corporate Office Properties Trust   2,439 
 6,276,391     Country Garden Holdings Co Ltd   11,002 
 97,849  *  Countrywide plc   49 
 1,477,808     Cousins Properties, Inc   14,320 
 1,414  *  Crescendo Investment Corp   1,411 
 26,365     Crombie Real Estate Investment Trust   255 
 548,300  *  Cromwell European Real Estate Investment Trust   381 
 964,629     Cromwell Group   799 
 869,831     Crown Castle International Corp   93,785 
 2,948,943     CSI Properties Ltd   174 
 18,828     CT Real Estate Investment Trust   185 
 445,164     CubeSmart   14,343 
 503,269     CyrusOne, Inc   29,371 
 42,093  *,e  D Carnegie & Co AB   682 
 382  *  DA Office Investment Corp   2,193 
 170,400     Daibiru Corp   1,735 
 20,500     Daikyo, Inc   448 
 2,595,900     Daiman Development BHD   1,253 
 16,140     Daito Trust Construction Co Ltd   2,626 
 407,154     Daiwa House Industry Co Ltd   13,852 
 1,868,035  *  DAMAC Properties Dubai Co PJSC   1,044 
 216,487     DCT Industrial Trust, Inc   14,446 
 961,017     DDR Corp   17,202 
130

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,134,068     Delta Property Fund Ltd  $438 
 179,264     Derwent London plc   7,334 
 294,005     Deutsche Annington Immobilien SE   13,974 
 45,024     Deutsche Euroshop AG.   1,589 
 351,060  *  Deutsche Wohnen AG.   16,954 
 523,215     Dexus Property Group   3,761 
 1,060,662  *  Deyaar Development PJSC   125 
 354,883     DiamondRock Hospitality Co   4,358 
 119,007     DIC Asset AG.   1,333 
 267,914     Digital Realty Trust, Inc   29,894 
 85,478     Dios Fastigheter AB   512 
 850,000     DLF Ltd   2,348 
 459,641     Dongwon Development Co Ltd   1,611 
 743,530  *  DoubleDragon Properties Corp   355 
 213,512     Douglas Emmett, Inc   8,579 
 296,268     Dream Global REIT   3,236 
 29,059     Dream Industrial Real Estate Investment Trust   228 
 202,852     Dream Office Real Estate Investment Trust   3,615 
 185,260  *  Dream Unlimited Corp   1,371 
 878,230     Duke Realty Corp   25,495 
 139,605     Easterly Government Properties, Inc   2,759 
 377,762     Eastern & Oriental BHD   147 
 110,717     EastGroup Properties, Inc   10,580 
 699,300  *  Eco World Development Group BHD   213 
 371,900  *  Eco World International BHD   85 
 161,015     Education Realty Trust, Inc   6,682 
 959,091  *  Emaar Development PJSC   1,321 
 2,084,907  *  Emaar Malls Group PJSC   1,215 
 6,226,461     Emaar Properties PJSC   8,355 
 1,393,971     Emira Property Fund Ltd   1,457 
 1,697,430     Emlak Konut Gayrimenkul Yatiri   752 
 709,333     Emperor International Holdings   206 
 232,710     Empire State Realty Trust, Inc   3,979 
 358,640     Empiric Student Property plc   419 
 150,095     Entertainment Properties Trust   9,725 
 319,634  g  Entra ASA   4,356 
 130,300     Equinix, Inc   56,015 
 278,865     Equites Property Fund Ltd   358 
 173,437  *  Equity Commonwealth   5,463 
 384,711     Equity Lifestyle Properties, Inc   35,355 
 857,283     Equity Residential   54,600 
 814,184  *  Eshraq Properties Co PJSC   133 
 180,199     Essex Property Trust, Inc   43,080 
 30,217     Eurobank Properties Real Estate Investment Co   303 
 45,917     Eurocommercial Properties NV   1,949 
 341,798     Extra Space Storage, Inc   34,115 
 659,192  *  Ezdan Holding Group QSC   1,491 
 364,938     Fabege AB   4,341 
 14,039,000  e  Fantasia Holdings Group Co Ltd   2,332 
 2,912,357     Far East Consortium   1,731 
 461,200     Far East Hospitality Trust   215 
 196,812     Farglory Land Development Co Ltd   209 
 181,137  e  Farmland Partners, Inc   1,594 
 158,293  *  Fastighets AB Balder   4,119 
131

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 194,096     Federal Realty Investment Trust  $24,563 
 5,819,506     Fibra Uno Administracion S.A. de C.V.   8,451 
 18,000,000     Filinvest Development Corp   2,395 
 52,853,000     Filinvest Land, Inc   1,386 
 72,600     Financial Street Holdings Co Ltd   88 
 673,314     First Capital Realty, Inc   10,581 
 590,173     First Industrial Realty Trust, Inc   19,676 
 1,038,070     First Real Estate Investment Trust   1,013 
 59,931     FirstService Corp   4,558 
 227,950     Folkestone Education Trust   453 
 15,677     Fonciere Des Regions   1,629 
 861,587     Forest City Realty Trust, Inc   19,653 
 16,554  *,e  Forestar Group, Inc   343 
 2,322,530  e  Fortress REIT Ltd   2,548 
 913,021     Fortress REIT Ltd (Class A)   1,022 
 555,641     Four Corners Property Trust, Inc   13,685 
 157,908     Franklin Street Properties Corp   1,352 
 5,319,725     Franshion Properties China Ltd   2,661 
 324,900  e  Frasers Centrepoint Trust   526 
 3,757,160  e  Frasers Logistics & Industrial Trust   2,890 
 75,543     Front Yard Residential Corp   787 
 1,069     Frontier Real Estate Investment Corp   4,296 
 10,439  *,e  FRP Holdings, Inc   676 
 446  *  Fukuoka REIT Corp   707 
 6,877,500  e  Fullshare Holdings Ltd   3,401 
 1,962,000     Future Land Development Holdin   1,767 
 30,600     Future Land Holdings Co Ltd   143 
 1,788,659     Gaming and Leisure Properties, Inc   64,034 
 333,154  e  Gateway Lifestyle   575 
 57,829     Gazit Globe Ltd   534 
 19,990     Gazit, Inc   354 
 207,336  e  GCP Student Living plc   402 
 898,302     GDI Property Group   858 
 19,352     Gecina S.A.   3,233 
 63,100  *  Gemdale Corp   97 
 3,038,000  e  Gemdale Properties and Investment Corp Ltd   327 
 600,102     Geo Group, Inc   16,527 
 143,460     Getty Realty Corp   4,041 
 918,817     GGP, Inc   18,771 
 55,049     Gladstone Commercial Corp   1,058 
 20,043     Gladstone Land Corp   254 
 196,377  e  Global Medical REIT, Inc   1,740 
 101,605     Global Net Lease, Inc   2,076 
 527  *,e  Global One Real Estate Investment Corp   531 
 1,858,000  *  Glorious Property Holdings Ltd   99 
 1,767     GLP J-Reit   1,877 
 31,904  *  Godrej Properties Ltd   335 
 44,980     Goldcrest Co Ltd   731 
 422,700     Golden Land Property Development PCL   136 
 897,840     Goodman Property Trust   882 
 150,252     Government Properties Income Trust   2,381 
 913,992     GPT Group (ASE)   3,420 
 995,804     Grainger plc   4,038 
132

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 301,158     Gramercy Property Trust  $8,228 
 91,842     Grand City Properties S.A.   2,381 
 63,072     Granite REIT   2,572 
 412,408     Great Eagle Holdings Ltd   2,011 
 864,207     Great Portland Estates plc   8,143 
 4,197,175     Green REIT plc   7,254 
 100,800  *  Greenland Holdings Corp Ltd   99 
 5,661,000     Greenland Hong Kong Holdings Ltd   2,092 
 811,000     Greentown China Holdings Ltd   1,084 
 1,391     Griffin Land & Nurseries, Inc (Class A)   61 
 790,000  *,e  Ground International Development Ltd   123 
 167,178  e  Growthpoint Properties Australia Ltd   446 
 8,120,762     Growthpoint Properties Ltd   15,800 
 332,600  *  Grupo GICSA S.A. de C.V.   146 
 342,000  *  Guangdong Land Holdings Ltd   85 
 1,057,885     Guangzhou R&F Properties Co Ltd   2,123 
 157,600  e  Guocoland Ltd   235 
 578,000  e  Guorui Properties Ltd   189 
 192,070     H&R Real Estate Investment Trust   2,940 
 34,340     Hamborner AG.   364 
 407,797     Hammerson plc   2,803 
 149,731     Hang Lung Group Ltd   419 
 3,949,113     Hang Lung Properties Ltd   8,112 
 321  *  Hankyu Reit, Inc   398 
 165,122  e  Hannon Armstrong Sustainable Infrastructure Capital, Inc   3,261 
 1,618,011     Hansteen Holdings plc   2,225 
 1,285,418     HCP, Inc   33,189 
 1,050  *  Health Care & Medical Investment Corp   1,071 
 312,381     Healthcare Realty Trust, Inc   9,084 
 432,128     Healthcare Trust of America, Inc   11,650 
 105,300     Heiwa Real Estate Co Ltd   1,874 
 60,724     Helical Bar plc   272 
 72,639     Heliopolis Housing   121 
 482,381     Hemfosa Fastigheter AB   5,634 
 2,146,853     Henderson Land Development Co Ltd   11,321 
 58,825     Hersha Hospitality Trust   1,262 
 231,890     HFF, Inc (Class A)   7,965 
 28,538,035     Hibernia REIT plc   49,990 
 795,042     Highwealth Construction Corp   1,179 
 397,318     Highwoods Properties, Inc   20,156 
 290,078     Hispania Activos Inmobiliarios SAU   6,160 
 117,880  e  HKC Holdings Ltd   107 
 2,827,812     Hongkong Land Holdings Ltd   20,216 
 379  *  Hoshino Resorts REIT, Inc   1,969 
 164,266     Hospitality Properties Trust   4,700 
 2,007,751     Host Marriott Corp   42,303 
 72,334  *  Howard Hughes Corp   9,584 
 180,235     Huaku Development Co Ltd   391 
 72,000     Huang Hsiang Construction Co   64 
 711,953     Hudson Pacific Properties   25,224 
 233,010     Hufvudstaden AB (Series A)   3,330 
 111,817     Hulic Co Ltd   1,193 
 698  *  Hulic Reit, Inc   1,081 
133

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 274,000     Hung Sheng Construction Co Ltd  $367 
 228,794     Hyprop Investments Ltd   1,707 
 1,699,303     Hysan Development Co Ltd   9,485 
 13,814     Icade   1,294 
 147,700  e  Ichigo Holdings Co Ltd   692 
 820  *  Ichigo Real Estate Investment Corp   656 
 376,700  *,e  IDU Co   428 
 1,047,700     IGB Real Estate Investment Trust   451 
 57,000     Iguatemi Empresa de Shopping Centers S.A.   454 
 171,989     Immobiliare Grande Distribuzione SIIQ S.p.A   1,382 
 53,260  *,e  IMMOFINANZ AG.   1,266 
 132,383     Independence Realty Trust, Inc   1,365 
 167,129  *  Indiabulls Real Estate Ltd   382 
 858     Industrial & Infrastructure Fund Investment Corp   956 
 84,264  *  Industrial Buildings Corp   108 
 39,464     Industrial Logistics Properties Trust   882 
 286,595     ING Office Fund   1,109 
 2,825,308     Ingenia Communities Group   6,448 
 293,925     Inmobiliaria Colonial S.A.   3,241 
 9,911  e  Innovative Industrial Properties, Inc   363 
 715,383  *,g  Instone Real Estate Group BV   18,830 
 95,149     InterRent Real Estate Investment Trust   796 
 737     Intershop Holding AG.   375 
 11,941     Intervest Offices   302 
 551,626  e  Intu Properties plc   1,309 
 20,414     Invesco Office J-Reit, Inc   2,826 
 4,119     Investis Holding S.A.   248 
 219,200  e  Investors Cloud Co Ltd   3,608 
 380,500     Investors Real Estate Trust   2,104 
 16,482     Invincible Investment Corp   7,417 
 1,200,133     Invitation Homes, Inc   27,675 
 813,865     IOI Properties Group Sdn BHD   322 
 640,084     Irish Residential Properties REIT plc   1,032 
 551,570     Iron Mountain, Inc   19,310 
 40,000  e  iShares Dow Jones US Real Estate Index Fund   3,223 
 99,086  *  iStar Financial, Inc   1,069 
 688  *,e  Japan Excellent, Inc   886 
 8,401     Japan Hotel REIT Investment Corp   6,294 
 797  *  Japan Logistics Fund Inc   1,625 
 211     Japan Prime Realty Investment Corp   767 
 428     Japan Real Estate Investment Corp   2,264 
 1,148  *,e  Japan Rental Housing Investments, Inc   923 
 1,708     Japan Retail Fund Investment Corp   3,081 
 294,355     JBG SMITH Properties   10,735 
 21,334  e  Jernigan Capital, Inc   407 
 133,616  *  Jerusalem Economy Ltd   321 
 1,596,750  *,†,m  Jiangsu Future Land Co Ltd   7,998 
 1,210,000  *,e  Jiayuan International Group Ltd   2,097 
 28,662     Jones Lang LaSalle, Inc   4,758 
 13,000,000     Joy City Property Ltd   1,635 
 2,053,000     K Wah International Holdings Ltd   1,180 
 2,088,000  *  Kaisa Group Holdings Ltd   888 
 45,600  *  Katitas Co Ltd   1,616 
134

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 639     Kenedix Realty Investment Corp  $3,967 
 437     Kenedix Residential Investment Corp   653 
 707  *  Kenedix Retail REIT Corp   1,562 
 1,271,300     Kenedix, Inc   7,713 
 410,875     Kennedy-Wilson Holdings, Inc   8,690 
 615,117  e  Keppel DC REIT   613 
 385,500  *  Keppel-KBS US REIT   339 
 1,912,170     Kerry Properties Ltd   9,138 
 53,512     Killam Apartment Real Estate Investment Trust   610 
 263,596     Kilroy Realty Corp   19,938 
 267,719     Kimco Realty Corp   4,549 
 198,000     Kindom Construction Co   143 
 334,498     Kite Realty Group Trust   5,713 
 1,126,730     Kiwi Property Group Ltd   1,027 
 117,500     KLCC Property Holdings BHD   233 
 252,911     Klepierre   9,503 
 686,065  e  Klovern AB (B Shares)   759 
 26,181     Korea Asset In Trust Co Ltd   117 
 87,550     Korea Real Estate Investment Trust Co   213 
 2,722,130     Kowloon Development Co Ltd   3,065 
 1,649,244     K-REIT Asia   1,332 
 148,633     Kungsleden AB   1,023 
 1,337,500     KWG Property Holding Ltd   1,671 
 1,633,314     Lai Fung Holdings Ltd   2,544 
 485,285     Lai Sun Development Co Ltd   809 
 53,619     Lamar Advertising Co   3,663 
 3,240,400     Land and Houses PCL Co Reg   1,106 
 285,956     Land Securities Group plc   3,603 
 4,805,000     Langham Hospitality Investments Ltd   1,972 
 307,924     Lar Espana Real Estate Socimi S.A.   3,433 
 193,885     LaSalle Hotel Properties   6,637 
 773  *  LaSalle Logiport REIT   766 
 127,894     LEG Immobilien AG.   13,894 
 409,106     Lend Lease Corp Ltd   5,990 
 310,311     Leopalace21 Corp   1,698 
 332,645     Lexington Realty Trust   2,904 
 231,907     Liberty Property Trust   10,280 
 83,788     Life Storage, Inc   8,153 
 742,997     Link REIT   6,776 
 1,985,100  e  Lippo-Mapletree Indonesia Retail Trust   459 
 262,000     Liu Chong Hing Investment   413 
 1,676,000     Logan Property Holdings Co Ltd   2,259 
 2,185,683     London & Stamford Property plc   5,326 
 1,491,178     Longfor Properties Co Ltd   4,009 
 386,900     LPN Development PCL (Foreign)   117 
 237,136     LSR Group (GDR)   640 
 131,424     LTC Properties, Inc   5,617 
 191,485     Macerich Co   10,882 
 306,563     Mack-Cali Realty Corp   6,217 
 200,238     Macquarie CountryWide Trust   621 
 1,205,064     Macquarie Goodman Group   8,591 
 769,390  e  Macquarie MEAG Prime REIT   364 
 1,527,176     Mah Sing Group BHD   405 
 816,272     Manulife US Real Estate Investment Trust   697 
135

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 35,779  *,†,e,m  Mapeley Ltd  $0^
 1,456,682     Mapletree Commercial Trust   1,679 
 4,179,800     Mapletree Greater China Commercial Trust   3,499 
 1,071,799     Mapletree Industrial Trust   1,517 
 1,166,310  e  Mapletree Logistics Trust   1,051 
 131,859  *  Marcus & Millichap, Inc   5,144 
 809,392     Matrix Concepts Holdings BHD   399 
 12,293  *  Maui Land & Pineapple Co, Inc   138 
 336,927     MedEquities Realty Trust, Inc   3,713 
 732,678     Medical Properties Trust, Inc   10,287 
 1,710,552     Medinet Nasr Housing   1,026 
 36,343,028     Megaworld Corp   2,917 
 35,338     Melisron Ltd   1,468 
 30,158     Mercialys S.A   525 
 500,502     Merlin Properties Socimi S.A.   7,266 
 56,681  *,g  Metrovacesa S.A.   993 
 2,302,200     Mexico Real Estate Management S.A. de C.V.   2,282 
 2,035,126  e  MGM Growth Properties LLC   61,990 
 4,451  *  MID Reit, Inc   3,332 
 279,896     Mid-America Apartment Communities, Inc   28,177 
 970,929     Midland Holdings Ltd   263 
 4,536,000     Minmetals Land Ltd   807 
 1,695,627     Mirvac Group   2,721 
 1,146,798     Mitsubishi Estate Co Ltd   20,020 
 134  *  Mitsubishi Estate Logistics REIT Investment Corp   326 
 696,779     Mitsui Fudosan Co Ltd   16,784 
 319     Mitsui Fudosan Logistics Park, Inc   975 
 3,658     Mobimo Holding AG.   903 
 602,000  e  Modern Land China Co Ltd   101 
 508,581     Monmouth Real Estate Investment Corp (Class A)   8,407 
 16,249     Morguard Real Estate Investment Trust   164 
 1,346     Mori Hills REIT Investment Corp   1,728 
 227     Mori Trust Hotel Reit, Inc   307 
 1,069  *  Mori Trust Sogo Reit, Inc   1,532 
 77,343     Multiplan Empreendimentos Imobiliarios S.A.   1,137 
 13,600  *,e  Nam Tai Property, Inc   150 
 129,186     National Health Investors, Inc   9,518 
 94,780     National Retail Properties, Inc   4,167 
 297,452     National Storage Affiliates Trust   9,167 
 2,220,021  e  National Storage REIT   2,703 
 882,000     Neo-China Land Group Holdings Ltd   161 
 460,104     NEPI Rockcastle plc   4,107 
 9,561     NESCO Ltd   73 
 122,387     New Senior Investment Group, Inc   926 
 7,398,908     New World Development Co Ltd   10,350 
 117,927     Newmark Group, Inc   1,678 
 176,989  e  NewRiver REIT plc   629 
 301,100     Nexity   19,009 
 107,991     NexPoint Residential Trust, Inc   3,072 
 256     Nippon Accommodations Fund, Inc   1,165 
 986     Nippon Building Fund, Inc   5,688 
 900  *,e  Nippon Healthcare Investment Corp   1,395 
 790     Nippon ProLogis REIT, Inc   1,640 
136

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 3,015  *,e  NIPPON REIT Investment Corp  $8,745 
 349,358     Nomura Real Estate Holdings, Inc   7,735 
 3,725     Nomura Real Estate Master Fund, Inc   5,259 
 81,753     NorthStar Realty Europe Corp   1,185 
 100,495     Northview Apartment Real Estate Investment Trust   2,009 
 149,085     NorthWest Healthcare Properties Real Estate Investment Trust   1,280 
 97,361     Norwegian Property ASA   129 
 43,500     NSI NV   1,824 
 493,500     NTT Urban Development Corp   5,302 
 85,781     Oberoi Realty Ltd   598 
 268,475  e  Omega Healthcare Investors, Inc   8,323 
 80,442     One Liberty Properties, Inc   2,124 
 194,900     Open House Co Ltd   11,517 
 188,500     Origin Property PCL   93 
 2,186     Orix JREIT, Inc   3,491 
 2,132,000     OUE Hospitality Trust   1,245 
 938,133     Outfront Media, Inc   18,247 
 296,500  e  Overseas Union Enterprise Ltd   339 
 785,881  *  Palm Hills Developments SAE   198 
 604,462     Paramount Group, Inc   9,309 
 805,157     Park Hotels & Resorts, Inc   24,662 
 742,800  e  Parkway Life Real Estate Investment Trust   1,481 
 1,137,839     Parque Arauco S.A.   3,191 
 25,288     Patrizia Immobilien AG.   487 
 448,800     Pavilion Real Estate Investment Trust   198 
 103,221     Pebblebrook Hotel Trust   4,005 
 103,380  e  Pennsylvania REIT   1,136 
 266,515     Phoenix Mills Ltd   2,589 
 653,102     Physicians Realty Trust   10,410 
 231,224     Piedmont Office Realty Trust, Inc   4,608 
 1,347,900     PLA Administradora Industrial S de RL de C.V.   1,838 
 591,300     Platinum Group PCL   135 
 1,253,817     Poly Hong Kong Investment Ltd   516 
 94,434     Poly Real Estate Group Co Ltd   173 
 6,766,160     Polytec Asset Holdings Ltd   569 
 232,936     Potlatch Corp   11,845 
 6,031,000  e  Powerlong Real Estate Holdings Ltd   3,247 
 565,372     Precinct Properties New Zealand Ltd   517 
 339,914     Preferred Apartment Communities, Inc   5,775 
 793  *  Premier Investment Co   805 
 169,009     Prestige Estates Projects Ltd   666 
 1,391,117  e  Primary Health Properties plc   2,141 
 611,826     Prince Housing & Development Corp   223 
 1,476,038     ProLogis Property Mexico S.A. de C.V.   2,722 
 1,694,816     Prologis, Inc   111,332 
 749,000     Prosperity REIT   304 
 104,493     PS Business Parks, Inc   13,427 
 34,552     PSP Swiss Property AG.   3,203 
 8,135,500     PT Alam Sutera Realty Tbk   186 
 22,620,247     PT Bumi Serpong Damai   2,468 
 17,631,429     PT Ciputra Development Tbk   1,252 
 43,762,000  *  PT Hanson International Tbk   403 
 86,338,670     PT Kawasan Industri Jababeka Tbk   1,290 
137

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 29,492,200     PT Lippo Karawaci Tbk  $698 
 16,097,800     PT Modernland Realty Tbk   326 
 15,555,300     PT Pakuwon Jati Tbk   575 
 18,905,762     PT PP Properti Tbk   187 
 4,644,500  *  PT Sentul City Tbk   36 
 6,533,500     PT Summarecon Agung Tbk   412 
 280,486     Public Storage, Inc   63,631 
 1,625,000  *  Puravankara Projects Ltd   2,463 
 354,174  *,e  Purplebricks Group plc   1,520 
 306,101     QTS Realty Trust, Inc   12,091 
 145,022  *  Quality Care Properties, Inc   3,119 
 2,827,622     Quality House PCL   262 
 402,433  *  Radium Life Tech Co Ltd   148 
 3,829,009     RAK Properties PJSC   667 
 117,652     Ramco-Gershenson Properties   1,554 
 293,565     Rayonier, Inc   11,358 
 7,400  *  Raysum Co Ltd   108 
 26,383     Re/Max Holdings, Inc   1,384 
 132,868  *  Realia Business S.A.   166 
 262,941  e  Realogy Holdings Corp   5,995 
 144,805     Realty Income Corp   7,789 
 274,167  e  Rebosis Property Fund Ltd   148 
 550,000  g  Redco Properties Group Ltd   280 
 1,033,568     Redefine International plc   477 
 4,644,804     Redefine Properties Ltd   3,552 
 112,109  *,e  Redfin Corp   2,589 
 26,883,000     Regal Real Estate Investment Trust   7,873 
 635,893     Regency Centers Corp   39,476 
 170,631  g  Regional REIT Ltd   213 
 435,521     Reit  Ltd   1,729 
 98,900     Relo Holdings, Inc   2,606 
 9,255,250  *,e  Renhe Commercial Holdings Co Ltd   183 
 239,528  e  Resilient REIT Ltd   982 
 4,192     Retail Estates NV   373 
 874,675     Retail Opportunities Investment Corp   16,759 
 452,583     Retail Properties of America, Inc   5,784 
 982,894     Rexford Industrial Realty, Inc   30,853 
 213,817     RioCan Real Estate Investment Trust   3,928 
 73,200  *  RiseSun Real Estate Development Co Ltd   96 
 501,251     RLJ Lodging Trust   11,053 
 27,649     RMR Group, Inc   2,169 
 1,847,000     Road King Infrastructure   3,220 
 1,712,864     Robinsons Land Corp   597 
 336,500  *,e  Ronshine China Holdings Ltd   435 
 981,090  *  Ruentex Development Co Ltd   1,132 
 135,203     Ryman Hospitality Properties   11,242 
 3,746,629     S.A. Corporate Real Estate Fund Nominees Pty Ltd   1,194 
 1,703,573     Sabana Shari’ah Compliant Industrial REIT   551 
 270,120     Sabra Healthcare REIT, Inc   5,870 
 534,755     Safestore Holdings plc   3,867 
 16,832     Safety Income and Growth, Inc   319 
 10,500  *,e  SAMTY Co Ltd   192 
 900     Samty Residential Investment Corp   795 
138

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 49,877,077     Sansiri PCL  $2,317 
 41,374     Saul Centers, Inc   2,217 
 282,838     Savills plc   3,240 
 178,232  *  SBA Communications Corp   29,430 
 1,087,400     SC Asset Corp PCL   108 
 8,367,218     Scentre Group   27,186 
 815,925     Schroder Real Estate Investment Trust Ltd   664 
 546,847     Segro plc   4,816 
 2,677  *  Sekisui House Reit, Inc   1,756 
 137,796     Select Income REIT   3,096 
 138,241     Selvaag Bolig ASA   709 
 168,821     Senior Housing Properties Trust   3,054 
 48,886  e  Seritage Growth Properties   2,074 
 475,910     Shaftesbury plc   5,869 
 565,987  *  Shanghai Lujiazui Finance & Trade Zone Development Co Ltd   810 
 52,400  *  Shanghai Zhangjiang High-Tech Park Development Co Ltd   91 
 15,699,136  e  Shenzhen Investment Ltd   5,704 
 132,300     Shenzhen SEG Co Ltd   49 
 4,945,261     Shimao Property Holdings Ltd   12,893 
 183,858  *  Shining Building Business Co Ltd   79 
 16,400  *,e  Shinoken Group Co Ltd   249 
 622,824     Shopping Centres Australasia Property Group   1,130 
 19,217,500  e  Shui On Land Ltd   4,860 
 1,100  *  SIA Reit, Inc   2,562 
 524,000     Siam Future Development PCL   124 
 6,543,960     Sime Darby Property BHD   1,939 
 819,852     Simon Property Group, Inc   139,531 
 1,518,500  *  Singha Estate PCL   133 
 2,263,196     Sino Land Co   3,678 
 1,094,000  *  Sinolink Worldwide Holdings Ltd   123 
 22,280,081     Sino-Ocean Land Holdings Ltd   12,893 
 961,226     Sinyi Realty Co   1,109 
 2,548,395     Sirius Real Estate Ltd   2,093 
 126,479  *  Six of October Development & Investment   168 
 3,892     SK D&D Co Ltd   108 
 450,000     Skyfame Realty Holdings Ltd   331 
 437,804     SL Green Realty Corp   44,012 
 8,997,090     SM Prime Holdings   6,061 
 46,681     Smart Real Estate Investment Trust   1,084 
 402,845     Sobha Developers Ltd   2,598 
 7,727,635     Soho China Ltd   3,666 
 539,800  e  Soilbuild Business Space REIT   258 
 20,400     Sonae Sierra Brasil S.A.   97 
 998,491     SP Setia BHD   767 
 129,610     Sparkassen Immobilien AG.   2,531 
 1,577,743     SPH REIT   1,146 
 419,353  *  Spirit MTA REIT   4,319 
 2,758,172     Spirit Realty Capital, Inc   22,148 
 526,000     Spring Real Estate Investment Trust   223 
 110,528     ST Modwen Properties plc   613 
 63,680  *  St. Joe Co   1,143 
 373,145     STAG Industrial, Inc   10,161 
139

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,257,637     Standard Life Investment Property Income Trust Ltd  $1,545 
 6,295     Star Asia Investment Corp   6,244 
 2,200  *,e  Starts Proceed Investment Corp   3,302 
 839,230     Starwood Property Trust, Inc   18,220 
 5,257,483     Stockland Trust Group   15,448 
 693,000  e  StorageVault Canada, Inc   1,302 
 471,679     STORE Capital Corp   12,924 
 9,792     Stratus Properties, Inc   299 
 278,692     Sumitomo Realty & Development Co Ltd   10,263 
 322,454     Summit Hotel Properties, Inc   4,614 
 68,606     Summit Real Estate Holdings Ltd   584 
 400,964     Sun Communities, Inc   39,246 
 325,300     Sun Frontier Fudousan Co Ltd   3,840 
 1,865,334     Sun Hung Kai Properties Ltd   28,103 
 2,341,522  e  Sunac China Holdings Ltd   8,144 
 1,100,000  *  Suncity Group Holdings Ltd   191 
 1,997,000     Sunlight Real Estate Investment Trust   1,380 
 782,147     Sunstone Hotel Investors, Inc   12,999 
 2,007,067     Suntec Real Estate Investment Trust   2,545 
 1,737,547     Sunway BHD   666 
 878,000     Sunway Real Estate Investment   385 
 410,200     Supalai PCL   291 
 982,693     Swire Pacific Ltd (Class A)   10,387 
 4,703,102     Swire Properties Ltd   17,345 
 66,705     Swiss Prime Site AG.   6,129 
 385,962     TAG Tegernsee Immobilien und Beteiligungs AG.   8,488 
 1,333,600  e  Takara Leben Co Ltd   4,990 
 77  *  Takara Leben Infrastructure Fu   83 
 556,790     Talaat Moustafa Group   362 
 163,108  e  Tanger Factory Outlet Centers, Inc   3,831 
 137,481     Taubman Centers, Inc   8,078 
 201,499     Technopolis plc   905 
 31,744  *  Tejon Ranch Co   771 
 244,165     Terreno Realty Corp   9,198 
 136,786     Tier REIT, Inc   3,253 
 301,203     TLG Immobilien AG.   8,023 
 164,100     TOC Co Ltd   1,194 
 408,200     Tokyo Tatemono Co Ltd   5,599 
 1,276,731     Tokyu Fudosan Holdings Corp   9,006 
 518  *  Tokyu REIT, Inc   698 
 264,000     Top Spring International Holdings Ltd   89 
 1,071,400     Tosei Corp   11,333 
 2,900  *,e  Tosei Reit Investment Corp   2,982 
 2,736  *,e  Transcontinental Realty Investors, Inc   92 
 88,523  e  Tricon Capital Group, Inc   743 
 29,605  *,e  Trinity Place Holdings, Inc   194 
 4,099,040     Tritax Big Box REIT plc   8,420 
 166,195,200  *  U City PCL   150 
 192,458     UDR, Inc   7,225 
 782,500     UEM Land Holdings BHD   137 
 436,470     UMH Properties, Inc   6,700 
 86,023     Unibail-Rodamco-Westfield   18,941 
 29,768  *  Unibail-Rodamco-Westfield   6,555 
140

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 936,997     Unite Group plc  $10,632 
 20,366,919  *  Unitech Ltd   1,236 
 129,365     United Development Co PSC   497 
 791     United Urban Investment Corp   1,229 
 374,366  e  Uniti Group, Inc   7,499 
 460,400     Univentures PCL   92 
 19,441     Universal Health Realty Income Trust   1,244 
 176,000     Unizo Holdings Co Ltd   3,274 
 310,085     UOA Development BHD   183 
 345,873     UOL Group Ltd   1,931 
 166,449     Urban Edge Properties   3,807 
 66,834     Urstadt Biddle Properties, Inc (Class A)   1,512 
 35,071     Vastned Retail NV   1,652 
 827,546     Ventas, Inc   47,129 
 606,702     VEREIT, Inc   4,514 
 626,603     VICI Properties, Inc   12,933 
 7,421,270     Vicinity Centres   14,233 
 11,142,700     Vista Land & Lifescapes, Inc   1,279 
 1,220,877     Viva Energy REIT   2,031 
 392,100     Viva Industrial Trust   252 
 103,864     Vornado Realty Trust   7,678 
 2,659,353     Vukile Property Fund Ltd   3,773 
 115,447  e  Wallenstam AB   1,036 
 50,316     Warehouses De Pauw SCA   6,359 
 280,929  e  Washington Prime Group, Inc   2,278 
 118,711     Washington REIT   3,600 
 779,472  e  Watkin Jones plc   2,109 
 84,189     Weingarten Realty Investors   2,594 
 826,664     Welltower, Inc   51,824 
 26,767  e  Wereldhave NV   1,050 
 1,753,484     Weyerhaeuser Co   63,932 
 4,470,535     WHA Corp PCL   493 
 3,032,332     Wharf Holdings Ltd   9,710 
 2,567,332     Wharf Real Estate Investment Co Ltd   18,230 
 738,591     Wheelock & Co Ltd   5,133 
 197,200  e  Wheelock Properties S Ltd   236 
 57,513     Whitestone REIT   718 
 407,151     Wihlborgs Fastigheter AB   4,700 
 236,740     Wing Tai Holdings Ltd   345 
 220,448     Workspace Group plc   3,134 
 69,195     WP Carey, Inc   4,591 
 28,459     WPT Industrial Real Estate Investment Trust   395 
 644,280     Xenia Hotels & Resorts, Inc   15,695 
 33,500  e  Xinyuan Real Estate Co Ltd (ADR)   149 
 3,051,718     Yanlord Land Group Ltd   3,558 
 821,466  e  Yoma Strategic Holdings Ltd   223 
 80,300     Youngor Group Co Ltd   93 
 392,600     YTL Hospitality REIT   114 
 873,000     Yuexiu Real Estate Investment Trust   587 
 32,958,912     Yuexiul Property Co Ltd   6,276 
 1,956,000     Yuzhou Properties Co   1,149 
 842,000  *  Zhuguang Holdings Group Co Ltd   150 
       TOTAL REAL ESTATE   4,342,495 
141

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
RETAILING - 5.2%
 142,251  *  1-800-FLOWERS.COM, Inc (Class A)  $1,785 
 280,074     Aaron’s, Inc   12,169 
 22,020     ABC-Mart, Inc   1,204 
 103,668     Abercrombie & Fitch Co (Class A)   2,538 
 1,884,390     Accent Group Ltd   2,302 
 15,700  e  Adastria Holdings Co Ltd   199 
 294,560     Advance Auto Parts, Inc   39,972 
 10,400  e  Alpen Co Ltd   224 
 1,300,480  *  Amazon.com, Inc   2,210,556 
 377,148     American Eagle Outfitters, Inc   8,769 
 10,092  *  America’s Car-Mart, Inc   625 
 123,521  *,e  AO World plc   244 
 22,500     AOKI Holdings, Inc   328 
 24,341     Aoyama Trading Co Ltd   812 
 24,300     Arata Corp   1,467 
 71,100     Arc Land Sakamoto Co Ltd   1,066 
 9,700     Asahi Co Ltd   137 
 106,143  *  Asbury Automotive Group, Inc   7,276 
 147,800  e  ASKUL Corp   4,785 
 608,916  *  ASOS plc   48,843 
 187,705  *  At Home Group, Inc   7,349 
 41,788     Autobacs Seven Co Ltd   740 
 72,349     AutoCanada, Inc   936 
 138,157  e  Automotive Holdings Group Ltd   291 
 112,605  *,e  Autonation, Inc   5,470 
 79,147  *  AutoZone, Inc   53,102 
 3,086,999     B&M European Value Retail S.A.   16,399 
 3,216,307  *  B2W Companhia Global Do Varejo   22,323 
 527,004  *  Barnes & Noble Education, Inc   2,972 
 92,152     Barnes & Noble, Inc   585 
 1,329,800     Beauty Community PCL (Foreign)   490 
 3,321,581     Bed Bath & Beyond, Inc   66,183 
 32,800     Belluna Co Ltd   414 
 453,160     Berjaya Auto BHD   247 
 373,474     Best Buy Co, Inc   27,854 
 70,500     BIC CAMERA, Inc   1,085 
 34,186  e  Big 5 Sporting Goods Corp   260 
 63,917  e  Big Lots, Inc   2,670 
 188,633     Bilia AB   1,469 
 664,589  *  BJ’s Wholesale Club Holdings, Inc   15,718 
 437,918  *  boohoo.com plc   1,120 
 118,508  *  Booking Holdings, Inc   240,226 
 172,706  *  Boot Barn Holdings, Inc   3,584 
 148,500  *,e,g  Boozt AB   1,202 
 537,000  *,†,e,m  Boshiwa International Holding    1 
 43,966  e  Buckle, Inc   1,183 
 246,088  *  Burlington Stores, Inc   37,044 
 155,593     Burson Group Ltd   753 
 40,604  e  Byggmax Group AB   177 
 63,771     Caleres, Inc   2,193 
 47,436  e  Camping World Holdings, Inc   1,185 
 38,937     Canadian Tire Corp Ltd   5,082 
142

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 146,000     Canon Marketing Japan, Inc  $3,041 
 576,337     Card Factory plc   1,496 
 548,263  *  CarMax, Inc   39,952 
 108,249  *,e  Carvana Co   4,503 
 13,840  e  Cashbuild Ltd   332 
 35,905     Cato Corp (Class A)   884 
 193,475     Chico’s FAS, Inc   1,575 
 26,252  e  Children’s Place Retail Stores, Inc   3,171 
 307,000  e  China Animation Characters Co Ltd   108 
 449,000  e  China Harmony New Energy Auto Holding Ltd   192 
 270,000     China Meidong Auto Holdings Ltd   122 
 3,259,000  e  China ZhengTong Auto Services Holdings Ltd   2,163 
 9,900     Chiyoda Co Ltd   229 
 15,500     Chori Co Ltd   274 
 183,000     Chow Sang Sang Holding   353 
 107,100     Cia Hering   394 
 119,369     Citi Trends, Inc   3,276 
 28,487     CJ O Shopping Co Ltd   7,142 
 128,519  e  Clas Ohlson AB (B Shares)   1,020 
 367,000  e,g  Cogobuy Group   164 
 11,687,800     Com7 PCL (Foreign)   5,853 
 88,983  *,e  Conn’s, Inc   2,936 
 250,712  *,e  Container Store Group, Inc   2,109 
 329,227     Core-Mark Holding Co, Inc   7,473 
 744,196  *  Ctrip.com International Ltd (ADR)   35,446 
 643  *  Cuckoo Homesys Co Ltd   128 
 4,493,714     Dah Chong Hong Holdings Ltd   2,232 
 118,700  e  DCM Japan Holdings Co Ltd   1,110 
 528,892  e  Debenhams plc   104 
 70,840     Delek Automotive Systems Ltd   388 
 274,979     Dick’s Sporting Goods, Inc   9,693 
 492,286     Dickson Concepts International Ltd   233 
 14,436     Dieteren S.A.   600 
 18,644  e  Dillard’s, Inc (Class A)   1,762 
 1,143,534     Dollar General Corp   112,752 
 1,071,267  *  Dollar Tree, Inc   91,058 
 726,654     Dollarama, Inc   28,167 
 77,800     Don Quijote Co Ltd   3,734 
 13,100     Doshisha Co Ltd   296 
 104,363     DSW, Inc (Class A)   2,695 
 43,172  e  Dufry Group   5,491 
 13,823  *,e  Duluth Holdings, Inc   329 
 157,309     Dunelm Group plc   1,046 
 102,789  g  Dustin Group AB   926 
 248,083     EDION Corp   2,495 
 48,385  *  eDreams ODIGEO S.A.   196 
 189,136  e  El Puerto de Liverpool SAB de C.V.   1,214 
 70,716     Empresas Tricot S.A.   105 
 948,700  *,e  Esprit Holdings Ltd   294 
 109,469  g  Europris ASA   327 
 1,029,887     Expedia, Inc   123,782 
 503,291  *  Express Parent LLC   4,605 
 4,208,000     Far Eastern Department Stores Co Ltd   2,697 
 56,112     Fast Retailing Co Ltd   25,718 
143

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 159,056  *  Five Below, Inc  $15,541 
 62,611  *,e  Floor & Decor Holdings, Inc   3,089 
 585,900  n  Foot Locker, Inc   30,848 
 278,589     Foschini Ltd   3,527 
 56,470  *  Francesca’s Holdings Corp   426 
 14,600     Fuji Co Ltd   305 
 17,604  *,e  Funko, Inc   221 
 28,671     Future Lifestyle Fashions Ltd   179 
 17,447  *  Gaia, Inc   353 
 177,175  e  GameStop Corp (Class A)   2,581 
 2,293,548     Gap, Inc   74,288 
 29,537  *  Genesco, Inc   1,173 
 287,552     Genuine Parts Co   26,394 
 289,200     Geo Holdings Corp   3,868 
 2,216,000     Giordano International Ltd   1,394 
 124,408  *,e  GNC Holdings, Inc   438 
 8,965,844  *,e  GOME Electrical Appliances Holdings Ltd   913 
 458,500     Grand Baoxin Auto Group Ltd   175 
 63,606  e  Greencross Ltd   211 
 30,755     Group 1 Automotive, Inc   1,938 
 37,373  *  Groupe Fnac   3,543 
 3,748,500  *  Groupon, Inc   16,119 
 10,117     GS Home Shopping, Inc   1,635 
 89,523     Guess?, Inc   1,916 
 37,900  e  Gulliver International Co Ltd   209 
 333     GwangjuShinsegae Co Ltd   67 
 410,520     Halfords Group plc   1,875 
 313,125     Hankyu Department Stores, Inc   4,990 
 347,005  e  Harvey Norman Holdings Ltd   853 
 54,715     Haverty Furniture Cos, Inc   1,182 
 24,654  *,†,m  Hellenic Duty Free Shops S.A.   104 
 24,865  *  HelloFresh SE   380 
 4,281,037     Hengdeli Holdings Ltd   193 
 538,685  e  Hennes & Mauritz AB (B Shares)   8,018 
 199,518  *,e  Hibbett Sports, Inc   4,569 
 24,271     Hikari Tsushin, Inc   4,260 
 3,670,801     Home Depot, Inc   716,173 
 26,284,294     Home Product Center PCL (Foreign)   10,644 
 8,178     Hornbach Baumarkt AG.   253 
 6,206  *  Hornbach Holding AG. & Co KGaA   447 
 57,249  g  Hostelworld Group plc   238 
 230,518     Hotai Motor Co Ltd   2,029 
 131,432     Hotel Shilla Co Ltd   14,558 
 340,782  *  Hudson Ltd   5,960 
 63,997  e  Hudson’s Bay Co   571 
 34,435     Hyundai Department Store Co Ltd   3,570 
 3,831     Hyundai Home Shopping Network Corp   387 
 138,128     Imperial Holdings Ltd   1,970 
 991,503     Inchcape plc   10,193 
 2,477,019     Industria De Diseno Textil S.A.   84,353 
 74,541     Infibeam Incorporation Ltd   167 
 216,928     Isetan Mitsukoshi Holdings Ltd   2,706 
 1,250,000     IT Ltd   891 
144

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 25,100     Izumi Co Ltd  $1,549 
 149,379     J Front Retailing Co Ltd   2,269 
 163,189  *  J. Jill, Inc   1,524 
 46,451     Jardine Cycle & Carriage Ltd   1,085 
 295,210  e  JB Hi-Fi Ltd   4,905 
 478,267  *,e  JC Penney Co, Inc   1,119 
 1,167,999     JD Sports Fashion plc   6,768 
 752,200  *  JD.com, Inc (ADR)   29,298 
 8,700     Jin Co Ltd   497 
 76,378     John Menzies plc   631 
 9,500     Joshin Denki Co Ltd   297 
 28,000     Joyful Honda Co Ltd   428 
 102,553     JUMBO S.A.   1,687 
 47,400  *,e  Jumei International Holding Ltd (ADR)   122 
 12,387  e  Keiyo Co Ltd   61 
 281,258     Kering   158,433 
 1,010,089     Kingfisher plc   3,950 
 4,200  *  Kintetsu Department Store Co Ltd   152 
 194,224  *  Kirkland’s, Inc   2,261 
 181,919  e  Kogan.com Ltd   922 
 506,182     Kohl’s Corp   36,901 
 28,600     Kohnan Shoji Co Ltd   666 
 82,000     Komeri Co Ltd   2,081 
 491,600     K’s Holdings Corp   5,095 
 242,124     L Brands, Inc   8,930 
 888,750  *  L’ Occitane International S.A.   1,466 
 48,268  *,e  Lands’ End, Inc   1,347 
 24,300  *  Laox Co Ltd   90 
 3,802,599     Li & Fung Ltd   1,393 
 240,000  *  Liberty Expedia Holdings, Inc   10,546 
 659,490  *  Liberty TripAdvisor Holdings, Inc   10,618 
 301,500  *,e  Lifestyle China Group Ltd   124 
 598,000     Lifestyle International Holdings Ltd   1,266 
 36,048     Lithia Motors, Inc (Class A)   3,409 
 16,900     LIXIL VIVA Corp   262 
 601,221  *  LKQ Corp   19,179 
 300,000     Lojas Americanas S.A.   1,002 
 2,341,094     Lojas Americanas S.A.(Preference)   10,069 
 965,989     Lojas Renner S.A.   7,320 
 197,622     Lookers plc   283 
 83,751     LOTTE Himart Co Ltd   5,927 
 9,290     Lotte Shopping Co Ltd   1,752 
 1,365,561     Lowe’s Companies, Inc   130,507 
 808,000     Luk Fook Holdings International Ltd   3,338 
 227,138  *,e  Lumber Liquidators, Inc   5,531 
 443,100     Macy’s, Inc   16,585 
 67,000     Magazine Luiza S.A.   2,213 
 26,512  g  Maisons du Monde S.A.   975 
 724,000     Maoye International Holdings Ltd   73 
 129,841  *  MarineMax, Inc   2,461 
 1,152,598  e  Marks & Spencer Group plc   4,477 
 217,123     Marui Co Ltd   4,567 
 98,375  e  Matas A.S.   799 
 17,200     Matsuya Co Ltd   259 
145

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 13,942  e  Mekonomen AB  $192 
 105,815     Metro AG.   880 
 226,869  *  Michaels Cos, Inc   4,349 
 22,043  e  Mobilezone Holding AG.   223 
 29,000     momo.com, Inc   205 
 48,267  e  Monro Muffler, Inc   2,804 
 238,310  e  Mr Price Group Ltd   3,911 
 55,854  *  Murphy USA, Inc   4,149 
 471,206  e  Myer Holdings Ltd   129 
 95,968     N Brown Group plc   214 
 70,123  *  National Vision Holdings, Inc   2,564 
 1,129,998  *,n  NetFlix, Inc   442,315 
 628,849     New Carphone Warehouse plc   1,543 
 97,146  *  New York & Co, Inc   497 
 124,818     Next plc   9,935 
 16,500  *  Nextage Co Ltd   188 
 23,200     Nishimatsuya Chain Co Ltd   267 
 54,822     Nitori Co Ltd   8,529 
 156,900     Nojima Corp   3,484 
 415,797     Nordstrom, Inc   21,530 
 9,577     NS Shopping Co Ltd   113 
 122,277  e  Nutri/System, Inc   4,708 
 436,263  *  Ocado Ltd   5,896 
 844,162     Office Depot, Inc   2,153 
 75,388  *  Ollie’s Bargain Outlet Holdings, Inc   5,466 
 322,147  e,g  On the Beach Group plc   2,134 
 7,500  *,e  Open Door, Inc   154 
 161,526  *  O’Reilly Automotive, Inc   44,189 
 31,292  *,e  Overstock.com, Inc   1,053 
 1,234,100     Padini Holdings BHD   1,824 
 7,600     Pal Co Ltd   179 
 103,300     Paltac Corp   5,940 
 15,000     Parco Co Ltd   163 
 677,000  e  Parkson Retail Group Ltd   83 
 272,667  *,e  Party City Holdco, Inc   4,158 
 25,700  e  PC Depot Corp   135 
 66,239     PC Jeweller Ltd   133 
 840,750     Pendragon plc   271 
 125,064     Penske Auto Group, Inc   5,859 
 30,265  e  PetMed Express, Inc   1,333 
 406,900  *  Petrobras Distribuidora S.A.   1,920 
 269,226  e  Pets at Home Group plc   460 
 126,550     Pier 1 Imports, Inc   301 
 1,294,500     Pou Sheng International Holdings Ltd   247 
 876,000  *,e  Powerwell Pacific Holdings Ltd   313 
 38,701     Poya Co Ltd   417 
 51,494     Premier Investments Ltd   643 
 4,986,300     PT ACE Hardware Indonesia Tbk   442 
 5,898,923     PT Matahari Department Store Tbk   3,613 
 26,022,000     PT Mitra Adiperkasa Tbk   1,636 
 7,303,800     PT Ramayana Lestari Sentosa Tbk   759 
 316,900     PTG Energy PCL   138 
 2,583,664  *  Qurate Retail Group, Inc QVC Group   54,825 
146

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 188,218     Rakuten, Inc  $1,270 
 232,487  e  Rent-A-Center, Inc   3,422 
 71,352  *,e  RH   9,968 
 329,040     Ripley Corp S.A.   311 
 361,700     Robinson PCL   612 
 648,673     Ross Stores, Inc   54,975 
 20,700     Ryohin Keikaku Co Ltd   7,272 
 592,490     SA SA International Holdings Ltd   375 
 678,285     SACI Falabella   6,222 
 220,611  *,e  Sally Beauty Holdings, Inc   3,536 
 28,700  e  Sanrio Co Ltd   555 
 108  *,e  Sears Holdings Corp    0^
 196,000     Senao International Co Ltd   321 
 14,625     Seobu Truck Terminal Co Ltd   126 
 28,800     Seria Co Ltd   1,380 
 36,059     Shankara Building Products Ltd   815 
 25,200     Shimachu Co Ltd   800 
 17,303     Shimamura Co Ltd   1,521 
 45,430     Shinsegae Co Ltd   16,339 
 1,567     Shinsegae International Co Ltd   284 
 38,468  e  Shoe Carnival, Inc   1,248 
 4,531  *,g  Shop Apotheke Europe NV   235 
 12,294     Shopper’s Stop Ltd   99 
 50,269  *  Shutterfly, Inc   4,526 
 857,987     Siam Global House PCL   429 
 112,935     Signet Jewelers Ltd   6,296 
 57,253  g  Sleep Country Canada Holdings, Inc   1,418 
 182,863  *  Sleep Number Corp   5,307 
 37,539     Sonic Automotive, Inc (Class A)   773 
 155,351  *  Sports Direct International plc   817 
 55,895  *,e  Sportsman’s Warehouse Holdings, Inc   286 
 12,893  *,e,g  SRP Groupe S.A.   109 
 245,716     Start Today Co Ltd   8,890 
 18,918  *,e  Stockmann Oyj Abp (B Share)   89 
 55,000  *  Suning.com Co Ltd   117 
 208,419  e  Super Cheap Auto Group Ltd   1,248 
 224,477  *  Super Group Ltd   573 
 45,974     SuperGroup plc   679 
 155,379     Tailored Brands, Inc   3,965 
 182,819     Takashimaya Co Ltd   1,564 
 18,016     Takkt AG.   329 
 1,288,804     Target Corp   98,104 
 54,800     Telepark Corp   1,399 
 7,122,099     Test-Rite International Co   5,361 
 572,614     Tiffany & Co   75,356 
 61,035     Tile Shop Holdings, Inc   470 
 144,771     Tilly’s, Inc   2,193 
 1,375,662     TJX Companies, Inc   130,936 
 30,959     Tokmanni Group Corp   256 
 11,700  *,e  Tokyo Base Co Ltd   89 
 9,500  e  Tokyo Derica Co Ltd   85 
 167,030     Tractor Supply Co   12,776 
 547,787     Trade Me Ltd   1,727 
 213,608  *,e  TripAdvisor, Inc   11,900 
147

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 564,030     Truworths International Ltd  $3,154 
 497,650  *  Ulta Beauty, Inc   116,181 
 25,363  e  Uni-Select, Inc   403 
 15,199     United Arrows Ltd   566 
 185,559  *  Urban Outfitters, Inc   8,267 
 182,186     USS Co Ltd   3,464 
 1,985     Valora Holding AG.   648 
 3,087,100     Via Varejo S.A.   14,823 
 421,600  *  Vipshop Holdings Ltd (ADR)   4,574 
 5,200     V-Mart Retail Ltd   188 
 46,800  e  VT Holdings Co Ltd   246 
 134,235  *,e  Wayfair, Inc   15,942 
 1,020,000  *,e  We Solutions Ltd   153 
 62,024  e  Webjet Ltd   616 
 363,083     WH Smith plc   9,557 
 277,763  e  Williams-Sonoma, Inc   17,049 
 3,798     Winmark Corp   564 
 1,895,003     Woolworths Holdings Ltd   7,641 
 92,600     Xebio Co Ltd   1,473 
 61,041  e,g  XXL ASA   493 
 524,304     Yamada Denki Co Ltd   2,604 
 71,300     Yellow Hat Ltd   2,104 
 15,500     Yume No Machi Souzou Iinkai Co Ltd   322 
 15,905  *,g  Zalando SE   886 
 535,500  e  Zhongsheng Group Holdings Ltd   1,603 
 3,553  *  zooplus AG.   663 
 220,223  *  Zumiez, Inc   5,517 
       TOTAL RETAILING   6,375,367 
               
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.6%        
 41,409  *,e  Acacia Communications, Inc   1,441 
 12,440  *,e  ACM Research, Inc   134 
 3,000,615     A-DATA Technology Co Ltd   6,449 
 63,676  *  Adesto Technologies Corp   535 
 268,615  *  Advanced Energy Industries, Inc   15,604 
 6,182,568  *,e  Advanced Micro Devices, Inc   92,677 
 7,003  *  Advanced Process Systems Corp   132 
 89,000     Advanced Wireless Semiconductor Co   223 
 187,600     Advantest Corp   3,891 
 410,173  *,e  Aixtron AG.   5,279 
 48,302  *  Alpha & Omega Semiconductor Ltd   688 
 48,882  *,e  Ambarella, Inc   1,887 
 474,635  *  Amkor Technology, Inc   4,077 
 45,118  e  ams AG.   3,346 
 632,879     Analog Devices, Inc   60,706 
 10,600     AOI Electronics Co Ltd   342 
 5,177,689     Applied Materials, Inc   239,157 
 200,852  *  APS Holdings Corp   919 
 32,693  *  Aquantia Corp   379 
 274,738     Ardentec Corp   303 
 6,040,245     ASE Industrial Holding Co Ltd   14,185 
 37,348     ASM International NV   2,058 
 696,204  e  ASM Pacific Technology   8,775 
148

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 18,884     ASMedia Technology, Inc  $301 
 710,192     ASML Holding NV   140,536 
 17,000     ASPEED Technology, Inc   445 
 21,446  *  Atto Co Ltd   109 
 46,494  *  Axcelis Technologies, Inc   921 
 55,426  *,e  AXT, Inc   391 
 387,028     BE Semiconductor Industries NV   10,415 
 179,000     BOE Varitronix Ltd   61 
 1,767,336     Broadcom, Inc   428,827 
 172,819     Brooks Automation, Inc   5,637 
 57,830     Cabot Microelectronics Corp   6,220 
 265,313  *  Cavium, Inc   22,950 
 32,357  *  Ceva, Inc   977 
 11,000     Chang Wah Technology Co Ltd   145 
 572,000     China Electronics Corp Holdings Co Ltd   83 
 11,538  *,†,e,m  China Energy Savings Technology, Inc   0 
 392,000     Chipbond Technology Corp   811 
 248,000     ChipMOS Technologies, Inc   188 
 229,254  *  Cirrus Logic, Inc   8,787 
 134,609     Cohu, Inc   3,299 
 423,725  *  Cree, Inc   17,614 
 1,439,821     Cypress Semiconductor Corp   22,432 
 22,323     Dainippon Screen Manufacturing Co Ltd   1,563 
 7,900  *,e  Daqo New Energy Corp (ADR)   281 
 44,622  *  Dialog Semiconductor plc   676 
 451,801  *  Diodes, Inc   15,574 
 42,200     Disco Corp   7,184 
 22,812     Dongbu HiTek Co Ltd   401 
 281,000     Elan Microelectronics Corp   479 
 83,456     Elite Advanced Laser Corp   283 
 170,000     Elite Semiconductor Memory Technology, Inc   224 
 34,830     Elmos Semiconductor AG.   916 
 50,571     eMemory Technology, Inc   633 
 415,144     Entegris, Inc   14,073 
 5,349     Eo Technics Co Ltd   334 
 616,000  *  Epistar Corp   769 
 7,646     Eugene Technology Co Ltd   108 
 188,000     Everlight Electronics Co Ltd   237 
 174,060     Faraday Technology Corp   340 
 24,500     Ferrotec   377 
 218,188  *  First Solar, Inc   11,490 
 232,000     Forhouse Corp   218 
 110,852  *  Formfactor, Inc   1,474 
 222,000     Formosa Advanced Technologies Co Ltd   274 
 37,000     Foxsemicon Integrated Technology, Inc   229 
 11,560,308  *,e  GCL Poly Energy Holdings Ltd   1,086 
 14,952  *,e  GemVax & Kael Co Ltd   175 
 20,686     Giga Solar Materials Corp   109 
 321,454  *  Gintech Energy Corp   137 
 55,000     Global Unichip Corp   492 
 560,000     Globalwafers Co Ltd   9,271 
 363,433     Globetronics Technology BHD   199 
 739,000     Greatek Electronics, Inc   1,309 
 341,000     Hana Microelectronics PCL (Foreign)   339 
149

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 15,479     Hanmi Semiconductor Co Ltd  $117 
 4,673  *  Hansol LCD, Inc   40 
 143,000     Holtek Semiconductor, Inc   347 
 769,000  g  Hua Hong Semiconductor Ltd   2,628 
 771,055     Hynix Semiconductor, Inc   59,186 
 38,265  *,e  Ichor Holdings Ltd   812 
 27,681  *,e  Impinj, Inc   612 
 1,129,620     Infineon Technologies AG.   28,694 
 3,691  *  Innox Advanced Materials Co Ltd   189 
 745,438  *,e  Inphi Corp   24,309 
 263,512  *  Integrated Device Technology, Inc   8,401 
 12,396,903     Intel Corp   616,250 
 392,085  *,e  IQE plc   526 
 323,100  *,e  JA Solar Holdings Co Ltd (ADR)   2,200 
 72,100     Japan Material Co Ltd   1,112 
 102,500  *,e  JinkoSolar Holding Co Ltd (ADR)   1,411 
 23,419     Jusung Engineering Co Ltd   172 
 4,018     KC Tech Co Ltd   83 
 787,000     King Yuan Electronics Co Ltd   715 
 174,000     Kinsus Interconnect Technology Corp   298 
 481,633     Kla-Tencor Corp   49,382 
 8,020     Koh Young Technology, Inc   733 
 93,337  *,e  Kopin Corp   267 
 8,300     L&F Co Ltd   377 
 476,956     Lam Research Corp   82,442 
 43,800     Land Mark Optoelectronics Corp   408 
 39,635,000  *  Landing International Development Ltd   603 
 26,300     Lasertec Corp   737 
 1,008,570  *  Lattice Semiconductor Corp   6,616 
 6,256     LEENO Industrial Inc   353 
 189,726  *  Lextar Electronics Corp   119 
 131,048     Lite-On Semiconductor Corp   183 
 36,500     LONGi Green Energy Technology Co Ltd   92 
 28,000     Machvision, Inc   398 
 68,378  *,e  MA-COM Technology Solutions   1,575 
 1,447,000  *  Macronix International   2,052 
 207,700     Malaysian Pacific Industries BHD   526 
 2,500,501     Marvell Technology Group Ltd   53,611 
 782,400     Maxim Integrated Products, Inc   45,896 
 94,801  *  MaxLinear, Inc   1,478 
 5,240,594     MediaTek, Inc   51,442 
 2,006     Meerecompany, Inc   254 
 81,400  e  Megachips Corp   2,164 
 30,450     Melexis NV   2,819 
 103,639  *  Mellanox Technologies Ltd   8,737 
 318,574  *,e  Meyer Burger Technology AG.   300 
 370,298  e  Microchip Technology, Inc   33,679 
 2,917,569  *,n  Micron Technology, Inc   152,997 
 15,400     Micronics Japan Co Ltd   137 
 40,400     Mimasu Semiconductor Industry Co Ltd   649 
 13,800  e  Mitsui High-Tec, Inc   175 
 92,035     MKS Instruments, Inc   8,808 
 122,856     Monolithic Power Systems, Inc   16,422 
150

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 97,118  *  Motech Industries, Inc  $49 
 53,348  *  Nanometrics, Inc   1,889 
 7,265,000     Nanya Technology Corp   19,721 
 160,324  *  Neo Solar Power Corp   53 
 52,606  *,e  NeoPhotonics Corp Ltd   328 
 76,460  *,e  Nordic Semiconductor ASA   487 
 59,526  *  Nova Measuring Instruments Ltd   1,629 
 1,751,752     Novatek Microelectronics Corp Ltd   7,883 
 2,500     Nuflare Technology, Inc   153 
 60,000     Nuvoton Technology Corp   124 
 7,021     NVE Corp   855 
 1,801,752     NVIDIA Corp   426,835 
 1,025,634  *  NXP Semiconductors NV   112,071 
 1,531,172  *  ON Semiconductor Corp   34,046 
 21,440     On-Bright Electronics, Inc   199 
 7,200  *,e  Optorun Co Ltd   275 
 149,127     Orise Technology Co Ltd   130 
 240,000  *  Pan Jit International, Inc   448 
 47,401     Parade Technologies Ltd   793 
 41,753  *  PDF Solutions, Inc   500 
 123,895     Phison Electronics Corp   977 
 218,931  *  Photronics, Inc   1,746 
 82,613     Pixart Imaging, Inc   308 
 51,433     Power Integrations, Inc   3,757 
 589,397     Powertech Technology, Inc   1,708 
 9,049     PSK, Inc   207 
 244,580  *  Qorvo, Inc   19,608 
 3,120,496  n  QUALCOMM, Inc   175,122 
 2,437,000     Radiant Opto-Electronics Corp   4,869 
 240,845  *  Rambus, Inc   3,020 
 377,333     Realtek Semiconductor Corp   1,371 
 1,282,788  *,e  REC Silicon ASA   144 
 392,385  *  Renesas Electronics Corp   3,836 
 430,408     Rohm Co Ltd   35,967 
 2,700  *,e  RS Technologies Co Ltd   139 
 270,311  *  Rudolph Technologies, Inc   8,001 
 7,209,062     Samsung Electronics Co Ltd   301,984 
 1,029,941     Samsung Electronics Co Ltd (Preference)   34,780 
 55,938     Sanan Optoelectronics Co Ltd   162 
 62,000     Sanken Electric Co Ltd   328 
 81,000     SDI Corp   223 
 2,460,047  *,e  Semiconductor Manufacturing International Corp   3,187 
 378,848  *  Semtech Corp   17,825 
 23,754     Seoul Semiconductor Co Ltd   354 
 166,000  *,e  Shanghai Fudan Microelectronics Group Co Ltd   169 
 9,600     Shindengen Electric Manufacturing Co Ltd   458 
 980,000  *,e  Shinkawa Ltd   7,543 
 419,800     Shinko Electric Industries   3,747 
 28,000     ShunSin Technology Holding Ltd   142 
 88,743  *  Sigma Designs, Inc   541 
 217,000     Sigurd Microelectronics Corp   270 
 40,934     Silergy Corp   995 
 82,799  *  Silicon Laboratories, Inc   8,247 
 7,220     Silicon Works Co Ltd   234 
151

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 161,495     Siltronic AG.  $22,949 
 347,000     Sino-American Silicon Products, Inc   1,393 
 181,000     Sitronix Technology Corp   697 
 364,908     Skyworks Solutions, Inc   35,268 
 72,316     SMA Solar Technology AG.   2,982 
 49,675  *,e  SMART Global Holdings, Inc   1,583 
 13,039  *  SOITEC   1,093 
 896,624     STMicroelectronics NV   19,908 
 46,810  *  STS Semiconductor & Telecommunications   80 
 223,234  e  Sumco Corp   4,484 
 91,776  *,e  SunPower Corp   704 
 898,300     SVI PCL (Foreign)   111 
 689,000     Taiwan Semiconductor Co Ltd   1,947 
 31,785,058     Taiwan Semiconductor Manufacturing Co Ltd   225,708 
 322,613     Teradyne, Inc   12,282 
 8,384     TES Co Ltd   176 
 1,911,085     Texas Instruments, Inc   210,697 
 2,826     Tokai Carbon Korea Co Ltd   164 
 152,446     Tokyo Electron Ltd   26,168 
 53,300     Tokyo Seimitsu Co Ltd   1,757 
 673,550     Topco Scientific Co Ltd   1,763 
 14,911  e  Toptec Co Ltd   326 
 220,496  *  Tower Semiconductor Ltd   4,919 
 1,746,000  *,†,m  Trony Solar Holdings Co Ltd.   2 
 4,861  e  U-Blox AG.   963 
 57,600     UKC Holdings Corp   1,172 
 56,628  *  Ultra Clean Holdings   940 
 90,900  e  Ulvac, Inc   3,468 
 621,900     Unisem M BHD   355 
 9,805,871     United Microelectronics Corp   5,494 
 136,456  e  Universal Display Corp   11,735 
 711,228     Vanguard International Semiconductor Corp   1,625 
 73,107  *  Veeco Instruments, Inc   1,042 
 317,777     Versum Materials, Inc   11,805 
 87,000  *  Via Technologies, Inc   144 
 101,068     Visual Photonics Epitaxy Co Ltd   380 
 101,200     ViTrox Corp BHD   140 
 307,975  *  Wafer Works Corp   627 
 369,000     Win Semiconductors Corp   2,642 
 2,398,832     Winbond Electronics Corp   1,528 
 16,669     WONIK IPS Co Ltd   420 
 126,927  *  Xcerra Corp   1,773 
 93,298  *,e,g  X-Fab Silicon Foundries SE   938 
 780,189     Xilinx, Inc   50,915 
 103,000  *  XinTec, Inc   205 
 2,594,000  e  Xinyi Solar Holdings Ltd   795 
 74,683     Xperi Corp   1,202 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   4,408,029 
                 
SOFTWARE & SERVICES - 13.1%       
 42,000  *,e  21Vianet Group, Inc (ADR)   407 
 91,069  *  2U, Inc   7,610 
 156,400  *  58.COM, Inc (ADR)   10,845 
152

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 135,849  *  8x8, Inc  $2,724 
 250,756  *  A10 Networks, Inc   1,562 
 1,652,400     Accenture plc   270,316 
 173,987  *  ACI Worldwide, Inc   4,292 
 2,396,097     Activision Blizzard, Inc   182,870 
 120,310  *  Acxiom Corp   3,603 
 14,513     Addcn Technology Co Ltd   131 
 1,075,287  *  Adobe Systems, Inc   262,166 
 5,992  *,g  Adyen NV   3,301 
 78,211  *,e  Afterpay Touch Group Ltd   542 
 2,200,000  *,e  AGTech Holdings Ltd   224 
 4,046     Ahnlab, Inc   185 
 3,700     Aisino Corp   14 
 283,523  *  Akamai Technologies, Inc   20,762 
 3,200  *  Akatsuki, Inc   120 
 46,729  *,e  Alarm.com Holdings, Inc   1,887 
 53,147  *,g  Alfa Financial Software Holdings plc   123 
 2,216,856  *  Alibaba Group Holding Ltd (ADR)   411,293 
 159,630     Alliance Data Systems Corp   37,226 
 249,787     Alpha Systems, Inc   5,179 
 768,105  *  Alphabet, Inc (Class A)   867,336 
 1,051,531  *  Alphabet, Inc (Class C)   1,173,141 
 69,392  *  Altair Engineering, Inc   2,372 
 38,799  e  Alten   3,988 
 42,393  *,e  Alteryx, Inc   1,618 
 578,772     Altium Ltd   9,619 
 185,540     Altran Technologies S.A.   2,682 
 450,566     Amadeus IT Holding S.A.   35,429 
 78,302  *  Amber Road, Inc   737 
 205,361     Amdocs Ltd   13,593 
 41,760  *  American Software, Inc (Class A)   608 
 181,526  *,e  ANGI Homeservices, Inc   2,792 
 109,621  *  Ansys, Inc   19,094 
 63,202     Appen Ltd   624 
 78,025  *  Appfolio, Inc   4,771 
 88,736  *  Apptio, Inc   3,212 
 199,780  *  Aspen Technology, Inc   18,528 
 206,921     Asseco Poland S.A.   2,204 
 15,146  *  Asure Software, Inc   242 
 7,100     Ateam, Inc   151 
 88,212  *  Atlassian Corp plc   5,515 
 74,045     Atos Origin S.A.   10,068 
 12,641     Aubay   527 
 1,118,190  g  Auto Trader Group plc   6,267 
 207,065  *  Autodesk, Inc   27,144 
 94,533     Autohome, Inc (ADR)   9,548 
 964,855     Automatic Data Processing, Inc   129,426 
 158,788  *  Avaya Holdings Corp   3,188 
 37,748     Aveva Group plc   1,335 
 4,064  e  Axway Software S.A.   92 
 607,870  *  Baidu, Inc (ADR)   147,712 
 15,800  *,e  Baozun, Inc (ADR)   864 
 23,100     Bechtle AG.   1,776 
 2,600     Beijing Shiji Information Technology Co Ltd   11 
153

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 51,030  *,e  Benefitfocus, Inc  $1,715 
 16,600  *,e  Bitauto Holdings Ltd (ADR)   395 
 517,261  *  Black Knight, Inc   27,699 
 73,181     Blackbaud, Inc   7,497 
 557,719  *  Blackberry Ltd (New)   5,379 
 349,081  *  Blackline, Inc   15,161 
 71,175  *  Blucora, Inc   2,634 
 463,184  *,e  Blue Prism Group plc   11,082 
 665,590     Booz Allen Hamilton Holding Co   29,106 
 60,958  *  Bottomline Technologies, Inc   3,038 
 490,896  *  Box, Inc   12,268 
 273,000  *,e  Boyaa Interactive International Ltd   82 
 86,816  *  Brightcove, Inc   838 
 58,600     Broadleaf Co Ltd   354 
 264,346     Broadridge Financial Solutions, Inc   30,426 
 19,900     Brogent Technologies, Inc   129 
 517,221     CA, Inc   18,439 
 160,000     CAC Holdings Corp   1,566 
 49,379  *  CACI International, Inc (Class A)   8,323 
 837,062  *  Cadence Design Systems, Inc   36,253 
 3,678  *  Cafe24 Corp   591 
 22,185     Cancom SE   2,254 
 275,381     Cap Gemini S.A.   36,904 
 401,172     Capcom Co Ltd   9,865 
 12,464  *  Carbon Black, Inc   324 
 40,342  *  Carbonite, Inc   1,408 
 8,540  *,e  Cardlytics, Inc   186 
 61,090  *  Cardtronics plc   1,477 
 385,575  *  Care.com, Inc   8,051 
 74,562  *,e  Cargurus, Inc   2,590 
 110,465  *,e  Cars.com, Inc   3,136 
 358,922     carsales.com Ltd   4,012 
 17,618     Cass Information Systems, Inc   1,213 
 25,285  *,e  Catena Media plc   345 
 57,099  *  CD Projekt Red S.A.   2,449 
 240,123     CDK Global, Inc   15,620 
 35,522  *,e  Ceridian HCM Holding, Inc   1,179 
 202,258  *  CGI Group, Inc   12,817 
 11,300  e  Changyou.com Ltd (ADR)   188 
 43,000  *  Chanjet Information Technology Co Ltd   63 
 113,093  *  ChannelAdvisor Corp   1,589 
 167,610  *  Check Point Software Technologies   16,372 
 1,278,000  e  Chinasoft International Ltd   994 
 1,066,613     Cielo S.A.   4,546 
 59,364  *  Cision Ltd   888 
 322,210  *  Citrix Systems, Inc   33,781 
 156,808  *  Cloudera, Inc   2,139 
 1,389,548     Cognizant Technology Solutions Corp (Class A)   109,760 
 25,800  e  COLOPL, Inc   175 
 7,245     Com2uSCorp   1,092 
 117,299  *  Commvault Systems, Inc   7,724 
 486,705     Computacenter plc   9,273 
 8,700  *  Computer Engineering & Consulting Ltd   320 
154

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 658,695     Computershare Ltd  $8,973 
 6,700  *,e  Comture Corp   165 
 210,545  *  Conduent, Inc   3,826 
 55,418     Constellation Software, Inc   42,978 
 38,154     ConvergeOne Holdings, Inc   358 
 264,503     Convergys Corp   6,464 
 35,000  e  COOKPAD, Inc   161 
 81,340  *  Cornerstone OnDemand, Inc   3,858 
 194,382  *  Coupa Software, Inc   12,098 
 65,000  e  CROOZ, Inc   1,195 
 108,358     CSG Systems International, Inc   4,429 
 88,776  *,e  CyberArk Software Ltd   5,589 
 657,188     Dassault Systemes S.A.   91,969 
 329,000     Datasonic Group BHD   71 
 71,026  *,g  Delivery Hero AG.   3,765 
 331,235  *  Dell Technologies, Inc-VMware Inc   28,016 
 213,600     Dena Co Ltd   4,000 
 473,884  *  Descartes Systems Group, Inc   15,439 
 6,540     Devoteam S.A.   743 
 15,932  *,e  Digimarc Corp   427 
 6,000  e  Digital Arts, Inc   324 
 429,000  *,e  Digital China Holdings Ltd   235 
 22,600     Digital Garage, Inc   876 
 18,200  e  Dip Corp   467 
 122,913  *,e  DocuSign, Inc   6,508 
 286,580     Domain Holdings Australia Ltd   682 
 3,981     DoubleUGames Co Ltd   192 
 14,376  *,e  Dropbox, Inc   466 
 56,800     DTS Corp   2,107 
 15,628     DuzonBIzon Co Ltd   869 
 4,249,389     DXC Technology Co   342,543 
 3,921,037  *  eBay, Inc   142,177 
 36,658  e  Ebix, Inc   2,795 
 23,634     eClerx Services Ltd   448 
 80,123     Econocom Group S.A.   440 
 131,426  *  EDB Business Partner ASA   476 
 27,286  *,e  eGain Corp   412 
 988,136  *  Electronic Arts, Inc   139,347 
 51,978  *,e  Ellie Mae, Inc   5,397 
 111,572     Ementor ASA   1,607 
 331,142  *  Endurance International Group Holdings, Inc   3,295 
 45,700     Enghouse Systems Ltd   2,669 
 130,000  *,e  Enigmo, Inc   2,077 
 67,208  *  Envestnet, Inc   3,693 
 80,886     EOH Holdings Ltd   191 
 453,668  *  EPAM Systems, Inc   56,405 
 857,344  g  Equiniti Group plc   2,783 
 641,884  *  Etsy, Inc   27,081 
 90,874  *  Euronet Worldwide, Inc   7,613 
 39,817  *  Everbridge, Inc   1,888 
 549,217  *  Everi Holdings, Inc   3,954 
 303,329     EVERTEC, Inc   6,628 
 12,986  *  Evo Payments, Inc   267 
 87,849  *  Exela Technologies, Inc   417 
155

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 114,371  *  ExlService Holdings, Inc  $6,475 
 26,000  e  F@N Communications, Inc   175 
 6,903,240  *  Facebook, Inc   1,341,438 
 51,922  *  Fair Isaac Corp   10,038 
 185,800  *,e  Fang Holdings Ltd (ADR)   721 
 2,300  *,e  FFRI, Inc   63 
 657,444     Fidelity National Information Services, Inc   69,709 
 324,406  *  FireEye, Inc   4,993 
 159,219  *  First American Corp   8,263 
 1,243,040  *  First Data Corp   26,017 
 112,928  *  Firstsource Solutions Ltd   116 
 728,593  *  Fiserv, Inc   53,981 
 310,586  *  Five9, Inc   10,737 
 219,733  *  FleetCor Technologies, Inc   46,287 
 166,484  *,e  ForeScout Technologies, Inc   5,704 
 9,519     Formula Systems 1985 Ltd   344 
 347,952  *  Fortinet, Inc   21,723 
 10,365  *,e  Frontier Developments plc   182 
 46,325     F-Secure Oyj   203 
 61,800     FUJI SOFT, Inc   2,605 
 9,729,012     Fujitsu Ltd   58,875 
 4,200     Fukui Computer Holdings, Inc   69 
 31,996  *,e  Fusion Telecommunications International, Inc   126 
 51,800     Future Architect, Inc   636 
 8,474  *  GameHi Co Ltd   63 
 2,568  *  Gamevil, Inc   125 
 282,306  *,e  Gaming Innovation Group, Inc   165 
 280,707  *  Gartner, Inc   37,306 
 80,501     GB Group plc   634 
 198,600  *,e  GDS Holdings Ltd (ADR)   7,962 
 433,156     Genpact Ltd   12,531 
 29,040     GFT Technologies AG.   376 
 296,654  *,e,g  Global Dominion Access S.A.   1,602 
 249,878     Global Payments, Inc   27,859 
 166,799  *  Glu Mobile, Inc   1,069 
 78,300  e  GMO internet, Inc   1,858 
 11,700  e  GMO Payment Gateway, Inc   1,347 
 537,589     Gocompare.Com Group plc   927 
 684,896  *  GoDaddy, Inc   48,354 
 88,945  *,e  Gogo, Inc   432 
 14,600     Gourmet Navigator, Inc   120 
 81,250  *,e  Gravity Co Ltd (ADR)   4,769 
 71,500  e  Gree, Inc   382 
 3,133,717  *,a  GreenSky, Inc   66,278 
 633,306  *,e  GrubHub, Inc   66,440 
 12,198  *  G-treeBNT Co Ltd   381 
 53,017  *,e  GTT Communications, Inc   2,386 
 1,025,760  *  Guidewire Software, Inc   91,067 
 224,200  e  GungHo Online Entertainment Inc   570 
 9,900  *,e  Gunosy, Inc   127 
 9,969     Haansoft, Inc   158 
 125,582     Hackett Group, Inc   2,018 
 245,535     Hansen Technologies Ltd   572 
156

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 344,500  e  HC International, Inc  $201 
 689,415     HCL Technologies Ltd   9,315 
 9,900     Hearts United Group Co Ltd   140 
 64,581     Hexaware Technologies Ltd   432 
 1,236,000  *  Hi Sun Technology China Ltd   181 
 542,706  *,e  Hortonworks, Inc   9,888 
 54,958  *,e  HubSpot, Inc   6,892 
 1,500     Hundsun Technologies, Inc   12 
 877,337  *  IAC/InterActiveCorp   133,785 
 45,500     Iflytek Co Ltd   219 
 2,787,000     IGG, Inc   3,547 
 316,762  *  Imperva, Inc   15,284 
 72,419  *  Indra Sistemas S.A.   864 
 518,500     Ines Corp   4,960 
 217,186     Inesa Intelligent Tech, Inc - B   120 
 93,504     Info Edge India Ltd   1,619 
 7,700     Infocom Corp   211 
 172,560  e  Infomart Corp   2,288 
 46,855  *  Information Services Group, Inc   192 
 6,700     Information Services International-Dentsu Ltd   202 
 2,285,442     Infosys Technologies Ltd   43,814 
 47,622  *  Instructure, Inc   2,026 
 68,372     Integrated Research Ltd   157 
 31,412  *  Internap Corp   327 
 1,226,502     International Business Machines Corp   171,342 
 40,000     International Games System Co Ltd   233 
 13,800     Internet Initiative Japan, Inc   277 
 59,584  *  InterXion Holding NV   3,719 
 1,068,093     Intuit, Inc   218,217 
 127,469     iomart Group plc   631 
 80,321     Iress Market Technology Ltd   716 
 25,600  e  Istyle, Inc   281 
 172,530     IT Holdings Corp   7,929 
 309,300     Itochu Techno-Science Corp   5,335 
 2,600  *  Itokuro, Inc   165 
 71,054     j2 Global, Inc   6,154 
 77,580     Jack Henry & Associates, Inc   10,113 
 21,780  *  Just Dial Ltd   177 
 490,637  *  Just Eat plc   5,031 
 17,600     Justsystems Corp   361 
 148,363     Kainos Group plc   783 
 109,220     Kakaku.com, Inc   2,459 
 37,520     Kakao Corp   3,853 
 6,700     Kanematsu Electronics Ltd   245 
 7,292  *  KCP Co Ltd   84 
 31,160     Keywords Studios plc   734 
 71,299     Kginicis Co Ltd   1,388 
 100,224  *  Kinaxis, Inc   6,747 
 2,310,000     Kingdee International Software Group Co Ltd   2,353 
 856,061     Kingsoft Corp Ltd   2,584 
 19,500  e  KLab, Inc   258 
 119,668     Konami Corp   6,081 
 7,646  *  Korea Information & Communications Co Ltd   69 
 441,926     KPIT Cummins Infosystems Ltd   1,755 
157

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 75,984  g  Larsen & Toubro Infotech Ltd  $1,856 
 32,852  *  Leaf Group Ltd   356 
 170,012     Learning Technologies Group plc   251 
 349,047     Leidos Holdings, Inc   20,594 
 705,000  *,e  Leyou Technologies Holdings Ltd   217 
 1,248,546  *  Limelight Networks, Inc   5,581 
 55,100  *,e  LINE Corp   2,275 
 274,030     Link Administration Holdings Ltd   1,485 
 81,167     Linx S.A.   371 
 42,141  *  Liquidity Services, Inc   276 
 165,833  *  Liveperson, Inc   3,499 
 263,276     LogMeIn, Inc   27,183 
 12,085  *  Logo Yazilim Sanayi Ve Ticaret AS.   111 
 9,434  *  Majesco   58 
 116,623  *  Manhattan Associates, Inc   5,482 
 40,376     Mantech International Corp (Class A)   2,166 
 55,500  *  MarkLines Co Ltd   1,245 
 121,300     Marvelous, Inc   998 
 2,811,973     MasterCard, Inc (Class A)   552,609 
 700,068  *,e  Match Group, Inc   27,121 
 72,857     Matrix IT Ltd   777 
 205,510     MAXIMUS, Inc   12,764 
 264,557  *  Meet Group, Inc   1,185 
 17,600  *,e  Mercari, Inc   721 
 362,883     Micro Focus International plc   6,297 
 812     Micro Focus International plc (ADR)   14 
 20,292,383  n  Microsoft Corp   2,001,032 
 45,825  *  MicroStrategy, Inc (Class A)   5,854 
 65,167  *  MINDBODY, Inc   2,515 
 151,055     MindTree Ltd   2,175 
 10,200     Miroku Jyoho Service Co Ltd   256 
 62,500  *  Mitek Systems, Inc   556 
 28,000     Mitsubishi Research Institute, Inc   1,280 
 25,200     Mixi Inc   637 
 334,939  *,e  MobileIron, Inc   1,491 
 399,030  *  Model N, Inc   7,422 
 117,700  *  Momo, Inc (ADR)   5,120 
 4,700  *  Money Forward, Inc   232 
 42,426  *  MoneyGram International, Inc   284 
 1,430,192     Moneysupermarket.com Group plc   5,944 
 130,468     Monotype Imaging Holdings, Inc   2,649 
 142,678     Mphasis Ltd   2,258 
 11,600     MTI Ltd   65 
 2,939,600     My EG Services BHD   701 
 249,131     MYOB Ltd   532 
 852,000  *,†,e,m  National Agricultural Holdings Ltd   1 
 30,039     Naver Corp   20,556 
 151,727  e  NCC Group plc   408 
 14,189     NCsoft   4,722 
 14,300     NEC Networks & System Integration Corp   321 
 11,261     Nemetschek AG.   1,350 
 300,700     NET One Systems Co Ltd   5,162 
 136,000  e  NetDragon Websoft, Inc   299 
158

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 79,000  e  Netease.com (ADR)  $19,961 
 302,080     NetEnt AB   1,605 
 67,227  *  New Relic, Inc   6,762 
 495,328  *  Nexon Co Ltd   7,187 
 240,522  *  NEXTDC Ltd   1,342 
 7,465  *  NHN Entertainment Corp   434 
 94,907     NIC, Inc   1,476 
 55,886  *  Nice Systems Ltd   5,784 
 254,700     Nihon Unisys Ltd   6,387 
 159,557     NIIT Technologies Ltd   2,557 
 309,417     Nintendo Co Ltd   101,003 
 19,600     Nippon System Development Co Ltd   446 
 81,813     Nomura Research Institute Ltd   3,958 
 18,100     NS Solutions Corp   455 
 466,235     NTT Data Corp   5,363 
 347,749  *  Nuance Communications, Inc   4,829 
 496,144  *  Nutanix, Inc   25,586 
 5,900     OBIC Business Consultants Ltd   418 
 51,870     Obic Co Ltd   4,285 
 137,873  *  Okta, Inc   6,945 
 44,559  *  OneMarket Ltd   42 
 47,829  *  OneSpan, Inc   940 
 444,390  e  Open Text Corp   15,641 
 61,634  *,e  Opera Software ASA   163 
 7,976,973     Oracle Corp   351,465 
 64,044     Oracle Corp Japan   5,220 
 77,490     Otsuka Corp   3,034 
 2,686,516  *,e  Pandora Media, Inc   21,170 
 51,958     Paradox Interactive AB   1,075 
 17,955  *,e  Park City Group, Inc   142 
 711,527     Paychex, Inc   48,633 
 79,307  *,e  Paycom Software, Inc   7,838 
 61,147  *  Paylocity Holding Corp   3,599 
 5,718,068  *  PayPal Holdings, Inc   476,143 
 61,780     PC Home Online   260 
 263,000     PCA Corp   4,243 
 6,060  *  Pearl Abyss Corp   1,224 
 131,321     Pegasystems, Inc   7,196 
 161,945  *  Perficient, Inc   4,271 
 49,330     Persistent Systems Ltd   585 
 597,171     Perspecta, Inc   12,272 
 23,312  *  PFSweb, Inc   227 
 20,900  *  Phoenix New Media Ltd (ADR)   89 
 2,100  *,e  PKSHA Technology, Inc   257 
 32,306     POSDATA Co Ltd   197 
 46,598  *  Presidio, Inc   610 
 31,652  *  PRGX Global, Inc   307 
 103,403     Progress Software Corp   4,014 
 560,322  *  Proofpoint, Inc   64,611 
 41,238  *  PROS Holdings, Inc   1,508 
 365,553  *  PTC, Inc   34,293 
 55,640  *  Q2 Holdings, Inc   3,174 
 15,037     QAD, Inc (Class A)   754 
 72,689  *  Qualys, Inc   6,128 
159

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 168,619  *  QuinStreet, Inc  $2,141 
 121,230  *  Quotient Technology, Inc   1,588 
 8,500  *  Rakus Co Ltd   146 
 242,784  *  Rapid7, Inc   6,851 
 53,834     REA Group Ltd   3,613 
 111,342  *  RealPage, Inc   6,135 
 193,102  *,n  Red Hat, Inc   25,947 
 13,892     Reis, Inc   303 
 41,818  *,e  Remark Holdings, Inc   164 
 18,400  e  Remixpoint, Inc   181 
 1,790,000  *,e  Rentian Technology Holdings Ltd   76 
 52,029     Reply S.p.A   3,528 
 19,249     RIB Software AG.   446 
 216,888     Rightmove plc   15,161 
 14,995  *  Rimini Street, Inc   98 
 361,971  *  RingCentral, Inc   25,465 
 43,644  *,g  Rocket Internet SE   1,397 
 70,853  *  Rosetta Stone, Inc   1,136 
 1,085,334     Sabre Corp   26,743 
 30,977  e  SafeCharge International Group Ltd   145 
 978,015     Sage Group plc   8,078 
 56,909  *  SailPoint Technologies Holding, Inc   1,397 
 14,607     Saipens International Corp NV   142 
 5,791,265  *,n  salesforce.com, Inc   789,929 
 30,547     Samsung SDS Co Ltd   5,485 
 1,147,338     SAP AG.   132,423 
 82,499     Science Applications International Corp   6,677 
 491,887  g  Scout24 AG.   26,035 
 437,200  *,e  Sea Ltd (ADR)   6,558 
 12,435  *,e  SecureWorks Corp   155 
 60,797  *  SendGrid, Inc   1,612 
 1,563,616  *  ServiceNow, Inc   269,677 
 114,926  *  ServiceSource International LLC   453 
 19,240     Shanghai 2345 Network Holding Group Co Ltd   12 
 67,223  *  SHIFT, Inc   2,974 
 51,800  *,e  Shopify, Inc (Class A)   7,557 
 105,885  *  Shopify, Inc (Class A) (Toronto)   15,441 
 11,171  *  ShotSpotter, Inc   424 
 28,091  *  Shutterstock, Inc   1,333 
 512,760  e  Silverlake Axis Ltd   197 
 23,916     SimCorp AS   1,932 
 94,094  *  Sina Corp   7,969 
 387,600  e  Sinosoft Technology Group Ltd   146 
 36,600     SMS Co Ltd   667 
 406,473     Softcat plc   4,101 
 29,059     Software AG.   1,351 
 66,540     Soft-World International Corp   169 
 19,700  *  Sohu.com Ltd (ADR)   699 
 13,065  *  Solutions 30 SE   630 
 22,727  *  Sonata Software Ltd   104 
 307,381     Sonda S.A.   456 
 192,261  g  Sophos Group plc   1,617 
 36,877     Sopra Group S.A.   7,503 
160

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 336,281  *  Splunk, Inc  $33,329 
 29,113  *  Spotify Technology S.A.   4,898 
 67,788  *  SPS Commerce, Inc   4,981 
 50,227     Square Enix Co Ltd   2,463 
 543,311  *  Square, Inc   33,490 
 508,425     SS&C Technologies Holdings, Inc   26,387 
 31,994  *  Stamps.com, Inc   8,096 
 130,442  *,e  Starbreeze AB   153 
 10,674  *,e  Stillfront Group AB   261 
 64,242     Sumisho Computer Systems Corp   2,983 
 962,000     SUNeVision Holdings Ltd   568 
 64,377  e  Switch, Inc   784 
 59,736  *  Sykes Enterprises, Inc   1,719 
 745,100     Symantec Corp   15,386 
 1,052,314  *  Synopsys, Inc   90,047 
 322,153     Syntel, Inc   10,338 
 118,100     Systena Corp   1,204 
 810,000     Systex Corp   1,750 
 69,536  *  Tableau Software, Inc   6,797 
 12,697  *,g  Takeaway.com Holding BV   848 
 674,748  *  Take-Two Interactive Software, Inc   79,863 
 1,437,444     Tata Consultancy Services Ltd   38,768 
 55,020     Tata Elxsi Ltd   1,073 
 790,362     Tech Mahindra Ltd   7,558 
 200,208  e  Technology One Ltd   629 
 48,870  *  TechTarget, Inc   1,388 
 20,800     Tecmo Koei Holdings Co Ltd   408 
 101,507  *  Telaria, Inc   410 
 48,375  *  TeleNav, Inc   271 
 64,226     Temenos Group AG.   9,659 
 10,080,976     Tencent Holdings Ltd   506,220 
 2,655,209  *  Teradata Corp   106,607 
 414,000  g  Tian GE Interactive Holdings Ltd   307 
 35,858     Tietoenator Oyj   1,159 
 573,959     TiVo Corp   7,720 
 9,100     TKC   339 
 598,748     Total System Services, Inc   50,606 
 79,500     Totvus S.A.   558 
 143,584  *,e  Trade Desk, Inc   13,468 
 13,600     Trans Cosmos, Inc/Japan   326 
 371,632     Travelport Worldwide Ltd   6,890 
 946,000     Travelsky Technology Ltd   2,746 
 7,350  *  Travelzoo, Inc   126 
 112,584     Trend Micro, Inc   6,409 
 186,693  *,e  TrueCar, Inc   1,884 
 31,522     TTEC Holdings, Inc   1,089 
 14,406  *,e  Tucows, Inc   874 
 235,711  *  Twilio, Inc   13,205 
 3,429,988  *  Twitter, Inc   149,788 
 67,112  *  Tyler Technologies, Inc   14,906 
 169,579  *  Ubisoft Entertainment   18,536 
 54,338  *  Ultimate Software Group, Inc   13,982 
 276,419  *,e  Unisys Corp   3,566 
 95,284     United Internet AG.   5,440 
161

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 6,700  e  UNITED, Inc  $161 
 68,472  *  Upland Software, Inc   2,353 
 464,264  *  Vakrangee Ltd   453 
 127,605  *  Varonis Systems, Inc   9,507 
 208,229  *  Verint Systems, Inc   9,235 
 292,528  *  VeriSign, Inc   40,199 
 10,661  *,e  Veritone, Inc   179 
 69,053  *,e  VirnetX Holding Corp   235 
 87,319  *  Virtusa Corp   4,251 
 6,416,594     Visa, Inc (Class A)   849,878 
 331,287  *  VMware, Inc (Class A)   48,689 
 61,281  *  Website Pros, Inc   1,584 
 9,655  *  Webzen, Inc   209 
 222,256  *,e  Weibo Corp (ADR)   19,727 
 5,851     WeMade Entertainment Co Ltd   249 
 1,471,736     Western Union Co   29,920 
 144,644  *  WEX, Inc   27,552 
 1,541,770     Wipro Ltd   5,880 
 172,443     Wirecard AG.   27,594 
 51,532  e  Wisetech Global Ltd   596 
 24,010  *  Wix.com Ltd   2,408 
 124,920  *  Workday, Inc   15,130 
 181,055  *  Workiva, Inc   4,418 
 31,613  *,g  Worldline S.A.   1,787 
 518,652  *  Worldpay, Inc   42,415 
 264  *  Xero Ltd   9 
 1,645     XING AG.   530 
 79,270  *  XO Group, Inc   2,537 
 19,800  *,e  Xunlei Ltd (ADR)   212 
 8,300,000     Xurpas, Inc   513 
 362,931  e  Yahoo! Japan Corp   1,202 
 123,522  *  Yelp, Inc   4,840 
 546,545  *,e  Yext, Inc   10,570 
 47,900  *  YY, Inc (ADR)   4,813 
 460,090  *  Zendesk, Inc   25,070 
 7,138     Zensar Technologies Ltd   133 
 60,900  *,e  ZIGExN Co Ltd   486 
 101,774  *  Zillow Group, Inc   6,081 
 212,597  *,e  Zillow Group, Inc (Class C)   12,556 
 147,087  *  Zix Corp   793 
 180,459  g  ZPG plc   1,160 
 711,498  *,e  Zscaler, Inc   25,436 
 3,671,169  *  Zynga, Inc   14,942 
       TOTAL SOFTWARE & SERVICES   16,017,607 
                 
TECHNOLOGY HARDWARE & EQUIPMENT - 4.8%        
 163,223  *,e  3D Systems Corp   2,254 
 701,922     AAC Technologies Holdings, Inc   9,857 
 51,224  *  accesso Technology Group plc   1,704 
 2,480,292     Accton Technology Corp   7,152 
 12,779,762     Acer, Inc   10,422 
 77,492     Adlink Technology, Inc   137 
 146,291     Adtran, Inc   2,172 
162

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 27,372  *  ADVA AG. Optical Networking  $195 
 23,000     Advanced Ceramic X Corp   191 
 172,932     Advantech Co Ltd   1,139 
 305,230  *,e  Aerohive Networks, Inc   1,212 
 23,857  *  Agilysys, Inc   370 
 20,800     Ai Holdings Corp   450 
 165,400     Alpha Networks, Inc   117 
 589,795     Alps Electric Co Ltd   15,147 
 12,515     ALSO Holding AG.   1,494 
 31,400     Amano Corp   742 
 443,700     Amphenol Corp (Class A)   38,668 
 327,635  *  Anixter International, Inc   20,739 
 101,300     Anritsu Corp   1,387 
 2,796,000  *,†,e,m  Anxin-China Holdings Ltd   4 
 13,347,611  d,n  Apple, Inc   2,470,776 
 27,741  *,e  Applied Optoelectronics, Inc   1,246 
 320,000     Arcadyan Technology Corp   772 
 185,147  *  Arista Networks, Inc   47,673 
 182,114  *  ARRIS International plc   4,452 
 201,963  *  Arrow Electronics, Inc   15,204 
 138,000     Asia Optical Co, Inc   425 
 4,398,464     Asia Vital Components Co Ltd   4,129 
 1,711,044     Asustek Computer, Inc   15,614 
 45,000     Aten International Co Ltd   131 
 48,047,893     AU Optronics Corp   20,357 
 151,800     Aurora Corp   449 
 15,013  e  Austria Technologie & Systemtechnik AG.   277 
 49,561  *  Avid Technology, Inc   258 
 293,399     Avnet, Inc   12,584 
 78,081     AVX Corp   1,224 
 43,181     Badger Meter, Inc   1,930 
 17,010     Barco NV   2,076 
 708     Basler AG.   137 
 14,302     Bel Fuse, Inc (Class B)   299 
 63,543  e  Belden CDT, Inc   3,884 
 218,945     Benchmark Electronics, Inc   6,382 
 10,845,000     Benq Corp   7,642 
 14,434  *  BH Co Ltd   317 
 53,200     BOE Technology Group Co Ltd   28 
 230,959     Brother Industries Ltd   4,550 
 715,000  e  BYD Electronic International Co Ltd   973 
 53,022  *  CalAmp Corp   1,242 
 1,550,706     CalComp Electronics Thailand PCL   84 
 67,394  *  Calix, Inc   526 
 1,906,000  *,e  Camsing International Holding Ltd   1,698 
 73,900     Canon Electronics, Inc   1,487 
 660,548  e  Canon, Inc   21,660 
 264,000  *  Career Technology Co Ltd   542 
 21,960  *  Casa Systems, Inc   359 
 104,943     Casetek Holdings Ltd   255 
 518,857     Catcher Technology Co Ltd   5,793 
 174,000  e  Catic Shenzhen Holdings Ltd   99 
 734,554     CDW Corp   59,345 
 397,819  *  Celestica, Inc   4,730 
163

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 222,602     Cheng Uei Precision Industry Co Ltd  $237 
 745,452     Chicony Electronics Co Ltd   1,678 
 131,000     Chilisin Electronics Corp   766 
 1,138,000  e  China Aerospace International Holdings Ltd   110 
 462,000     China All Access Holdings Ltd   47 
 489,600  *,†,m  China Fiber Optic Network System Group Ltd    1 
 3,380,000  *,e  China Innovationpay Group Ltd   404 
 1,882,000  g  China Railway Signal & Communication Corp Ltd   1,332 
 226,000     Chin-Poon Industrial Co   286 
 254,840     Chroma ATE, Inc   1,368 
 11,000     Chunghwa Precision Test Tech Co Ltd   290 
 1,024,097  *  Ciena Corp   27,149 
 20,006,855     Cisco Systems, Inc   860,895 
 1,819,254     Citizen Watch Co Ltd   11,929 
 16,208  *,e  Clearfield, Inc   179 
 341,393     Clevo Co   384 
 1,011,394  *  CMC Magnetics Corp   298 
 28,300     CMK Corp   180 
 442,220     Cognex Corp   19,727 
 24,871  *  Coherent, Inc   3,890 
 765,089  e  Comba Telecom Systems Holdings Ltd   109 
 4,095     Comet Holding AG.   441 
 114,146  *  CommScope Holding Co, Inc   3,334 
 3,378,688     Compal Electronics, Inc   2,126 
 3,655,000     Compeq Manufacturing Co   3,872 
 66,426     Comtech Telecommunications Corp   2,118 
 23,250     Concraft Holding Co Ltd   223 
 243,197  *  Control4 Corp   5,912 
 2,615,399  *,†,e,m  Coolpad Group Ltd   180 
 1,695,000     Coretronic Corp   2,362 
 1,412,870     Corning, Inc   38,868 
 104,000     Co-Tech Development Corp   128 
 125,586  *  Cray, Inc   3,089 
 49,417     CTS Corp   1,779 
 42,600     Daeduck Electronics Co   319 
 8,458     Daeduck GDS Co Ltd   101 
 52,700     Daiwabo Co Ltd   2,801 
 57,305     Daktronics, Inc   488 
 9,011  *  DASAN Zhone Solutions, Inc   88 
 42,489     Datalogic S.p.A.   1,566 
 146,403     DataTec Ltd   226 
 401,900     Delta Electronics Thai PCL   709 
 1,615,988     Delta Electronics, Inc   5,792 
 5,300  e  Denki Kogyo Co Ltd   170 
 34,000  e  Dexerials Corp   338 
 112,426  e  Diebold, Inc   1,343 
 65,537  *  Digi International, Inc   865 
 103,333     Dolby Laboratories, Inc (Class A)   6,375 
 194,300     Eastern Communications Co Ltd   100 
 27,370  *,e  Eastman Kodak Co   104 
 102,196  *  EchoStar Corp (Class A)   4,538 
 31,000     Egis Technology, Inc   144 
 8,771     Eizo Nanao Corp   380 
164

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 10,600     Elecom Co Ltd  $248 
 50,097  *  Electro Scientific Industries, Inc   790 
 2,652,250     Electrocomponents plc   26,441 
 68,619  *  Electronics for Imaging, Inc   2,234 
 22,800     Elematec Corp   540 
 166,654     Elite Material Co Ltd   436 
 193,390  *  Elitegroup Computer Systems Co Ltd   111 
 31,822     Ennoconn Corp   461 
 5,900     Enplas Corp   164 
 20,609  *  ePlus, Inc   1,939 
 2,278,845     Ericsson (LM) (B Shares)   17,557 
 13,700  *  ESPEC Corp   268 
 45,013  e  Evertz Technologies Ltd   547 
 7,487     EVS Broadcast Equipment S.A.   171 
 2,632,848  *  Extreme Networks, Inc   20,957 
 244,286  *  F5 Networks, Inc   42,127 
 89,511  *  Fabrinet   3,302 
 24,714  *  FARO Technologies, Inc   1,343 
 3,138,000  e  FIH Mobile Ltd   487 
 175,111  *,e  Finisar Corp   3,152 
 122,672     Firich Enterprises Co Ltd   234 
 313,152  *,e  Fitbit, Inc   2,045 
 209,339     FLEXium Interconnect, Inc   644 
 285,630     Flir Systems, Inc   14,844 
 63,310     Flytech Technology Co Ltd   162 
 4,440     Focus Media Information Technology Co Ltd   6 
 807,868     Foxconn Technology Co Ltd   1,975 
 832,143     Fujifilm Holdings Corp   32,456 
 80,000     Fujitsu Frontech Ltd   1,085 
 3,721  *  Gemalto NV   216 
 43,765     Gemalto NV   2,546 
 178,000     General Interface Solution Holding Ltd   1,152 
 40,000  *  Genius Electronic Optical Co Ltd   625 
 2,490,000     Getac Technology Corp   3,591 
 5,686,000     Gigabyte Technology Co Ltd   12,547 
 298,313     Halma plc   5,372 
 79,100     Hamamatsu Photonics KK   3,396 
 8,900     Hangzhou Hikvision Digital Technology Co Ltd   50 
 21,727,330     HannStar Display Corp   6,483 
 403,503  *  Harmonic, Inc   1,715 
 2,424,635     Hewlett Packard Enterprise Co   35,424 
 96,405     Hexagon AB (B Shares)   5,357 
 547,799  *  High Tech Computer Corp   1,021 
 6,600  *  Hioki EE Corp   277 
 36,340     Hirose Electric Co Ltd   4,494 
 665,479     Hitachi High-Technologies Corp   27,072 
 20,385,249     Hitachi Ltd   143,614 
 400,400     Hitachi Maxell Ltd   6,737 
 7,000     Hochiki Corp   140 
 288,270     Holystone Enterprise Co Ltd   2,306 
 14,716  *  Homecast Co Ltd   102 
 20,109,987     Hon Hai Precision Industry Co, Ltd   54,801 
 62,695     Horiba Ltd   4,382 
 452,900     Hosiden Corp   3,796 
165

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 2,046,948     HP, Inc  $46,445 
 882,500     Ibiden Co Ltd   14,101 
 5,000     Icom, Inc   122 
 111,476     ICP Electronics, Inc   136 
 94,074  *  II-VI, Inc   4,088 
 15,462  e  Iljin Materials Co Ltd   587 
 276,561  *,e  Immersion Corp   4,270 
 1,434,270     Inari Amertron BHD   800 
 4,843     Inficon Holding AG.   2,462 
 554,242  *  Infinera Corp   5,504 
 49,388     Ingenico   4,428 
 7,174,219     InnoLux Display Corp   2,574 
 372,821  *  Insight Enterprises, Inc   18,242 
 308,500     Integrated Micro-Electronics, Inc   81 
 265,901     InterDigital, Inc   21,511 
 6,964  *  Interflex Co Ltd   108 
 2,249,535     Inventec Co Ltd   1,764 
 68,280  *  IPG Photonics Corp   15,065 
 12,900     Iriso Electronics Co Ltd   778 
 9,627     Isra Vision AG.   588 
 40,200     ITC Networks Corp   698 
 848,357     ITEQ Corp   1,976 
 37,779  *,e  Iteris, Inc   183 
 133,515  *  Itron, Inc   8,018 
 30,699     Ituran Location and Control Ltd   932 
 565,949     Jabil Circuit, Inc   15,654 
 369,000     Japan Aviation Electronics Industry Ltd   5,804 
 13,900     Japan Cash Machine Co Ltd   155 
 320,300  *,e  Japan Display, Inc   416 
 131,722     Jenoptik AG.   5,153 
 1,406,951     Juniper Networks, Inc   38,579 
 20,200     Kaga Electronics Co Ltd   479 
 2,862     Kapsch TrafficCom AG.   129 
 323,400     KCE Electronics PCL   371 
 135,779  *  Kemet Corp   3,279 
 29,234     Keyence Corp   16,488 
 373,403  *  Keysight Technologies, Inc   22,042 
 38,563  *  Kimball Electronics, Inc   706 
 597,500     Kingboard Chemical Holdings Ltd   2,176 
 1,261,000     Kingboard Laminates Holdings Ltd   1,550 
 18,411     Kingpak Technology, Inc   120 
 131,020  *,e  Knowles Corp   2,005 
 268,900     Koa Corp   6,733 
 439,422     Konica Minolta Holdings, Inc   4,075 
 25,330  e  Kudelski S.A.   237 
 24,681  *  KVH Industries, Inc   331 
 250,229     Kyocera Corp   14,072 
 15,551  *,e  Landis&Gyr Group AG.   1,079 
 124,666     Largan Precision Co Ltd   18,314 
 358,400  g  Legend Holdings Corp   1,090 
 839     LEM Holding S.A.   1,250 
 5,768,753  e  Lenovo Group Ltd   3,105 
 11,209     LG Innotek Co Ltd   1,454 
166

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 183,981     LG.Philips LCD Co Ltd  $3,018 
 1,733,825     Lite-On Technology Corp   2,095 
 57,333     Littelfuse, Inc   13,082 
 378,621     Logitech International S.A.   16,588 
 35,000     Lotes Co Ltd   225 
 1,086,862  *,e  Lumentum Holdings, Inc   62,929 
 167,600     Macnica Fuji Electronics Holdings, Inc   2,810 
 123,300     Marubun Corp   923 
 28,500     Maruwa Co Ltd   2,278 
 56,016  *,e  Maxwell Technologies, Inc   291 
 39,200     Mcj Co Ltd   299 
 1,648,000  *,e,g  Meitu, Inc   1,433 
 4,200     Melco Holdings, Inc   156 
 130,076     Merry Electronics Co Ltd   565 
 5,012     Mesa Laboratories, Inc   1,058 
 53,943     Methode Electronics, Inc   2,174 
 223,433  e  Micronic Laser Systems AB   2,490 
 553,000     Micro-Star International Co Ltd   1,702 
 407,181     Mitac Holdings Corp   441 
 691,836     Motorola, Inc   80,509 
 26,811  e  MTS Systems Corp   1,412 
 552,795     Murata Manufacturing Co Ltd   92,801 
 139,000     Nan Ya Printed Circuit Board Corp   127 
 18,446  *  Napco Security Technologies, Inc   270 
 326,391     National Instruments Corp   13,702 
 102,819  *  NCR Corp   3,083 
 168,727     NEC Corp   4,624 
 98,339     Neopost S.A.   2,644 
 502,666     NetApp, Inc   39,474 
 62,937  *  Netgear, Inc   3,934 
 287,420  *  Netscout Systems, Inc   8,536 
 26,226     Nichicon Corp   330 
 10,300  e  Nippon Ceramic Co Ltd   268 
 16,200     Nippon Chemi-Con Corp   630 
 355,962     Nippon Electric Glass Co Ltd   9,867 
 26,800     Nippon Signal Co Ltd   260 
 20,260  e  Nissha Printing Co Ltd   417 
 42,698  *,e  nLight, Inc   1,412 
 43,400  e  Nohmi Bosai Ltd   927 
 7,288,535  e  Nokia Corp   41,909 
 7,316,446  e  Nokia Oyj (Turquoise)   41,966 
 28,100  *,e  Noritsu Koki Co Ltd   482 
 125,285  *  Novanta, Inc   7,805 
 255,704  *  Oclaro, Inc   2,283 
 4,100  *,e  Ohara, Inc   119 
 109,800     Oki Electric Industry Co Ltd   1,227 
 584,522     Omron Corp   27,229 
 229,000  *,e  O-Net Communications Group   136 
 19,400     Optex Co Ltd   541 
 49,180  *  Orbotech Ltd   3,039 
 99,500     Osaki Electric Co Ltd   763 
 46,011  *  OSI Systems, Inc   3,558 
 82,957     Oxford Instruments plc   1,095 
 102,879  *  Palo Alto Networks, Inc   21,139 
167

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 227,224     Pan-International Industrial  $160 
 17,456  *,e  PAR Technology Corp   309 
 30,707     Park Electrochemical Corp   712 
 22,599     Partron Co Ltd   144 
 2,098,000  e  PAX Global Technology Ltd   1,032 
 29,807     PC Connection, Inc   990 
 1,557,917     Pegatron Technology Corp   3,199 
 143,182     Plantronics, Inc   10,918 
 49,424  *  Plexus Corp   2,943 
 35,176     Posiflex Technology, Inc   134 
 1,590,000     Primax Electronics Ltd   3,218 
 535,000     Prime View International Co Ltd   594 
 1,315,552  *  Pure Storage, Inc   31,415 
 2,170,338     Quanta Computer, Inc   3,803 
 133,378  *  Quantenna Communications, Inc   2,073 
 94,153  *  Radware Ltd   2,380 
 427,806     Redington India Ltd   684 
 107,070     Renishaw plc   7,464 
 218,446  *  Ribbon Communications, Inc   1,555 
 108,633     Ricoh Co Ltd   995 
 9,879  *,†,m  RICOH INDIA Ltd    0^
 8,500     Riken Keiki Co Ltd   192 
 14,000     Riso Kagaku Corp   295 
 1,083,062  *  Ritek Corp   518 
 27,918  *  Rogers Corp   3,112 
 8,000     Roland DG Corp   176 
 10,700     Ryosan Co Ltd   392 
 13,000     Ryoyo Electro Corp   210 
 32,439     S&T AG.   831 
 150,880     Samsung Electro-Mechanics Co Ltd   20,088 
 118,622     Samsung SDI Co Ltd   22,753 
 6,375     Samwha Capacitor Co Ltd   500 
 399,108  *  Sanmina Corp   11,694 
 9,500  *  Sanshin Electronics Co Ltd   165 
 136,842  *  Scansource, Inc   5,515 
 1,031     Seagate Technology, Inc   58 
 65,572     Seiko Epson Corp   1,138 
 909,000     Sercomm Corp   2,110 
 4,172     Sesa S.p.A   137 
 160,629     SFA Engineering Corp   4,721 
 124,291     Shimadzu Corp   3,750 
 22,816  *,e  Sierra Wireless, Inc   365 
 16,800  e  Siix Corp   368 
 107,600     Simplo Technology Co Ltd   631 
 136,123     Sinbon Electronics Co Ltd   371 
 2,791     Sindoh Co Ltd   133 
 133,676     Smart Metering Systems plc   1,370 
 33,000     SMK Corp   113 
 176,641     Spectris plc   6,069 
 52,684     Sterlite Technologies Ltd   212 
 76,797  *,e  Stratasys Ltd   1,470 
 1,300,000     Sunny Optical Technology Group Co Ltd   24,112 
 57,717  *  Super Micro Computer, Inc   1,365 
168

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 6,388,000     Supreme Electronics Co Ltd  $7,169 
 52,723  *  Synaptics, Inc   2,656 
 144,976     SYNNEX Corp   13,992 
 1,149,238     Synnex Technology International Corp   1,733 
 84,922     Systemax, Inc   2,915 
 30,269  *  Taihan Fiberoptics Co Ltd   165 
 159,000     Taiwan Union Technology Corp   560 
 307,803  e  Taiyo Yuden Co Ltd   8,579 
 45,800  *  Tamura Corp   290 
 223,987     TDK Corp   22,807 
 1,985,180     TE Connectivity Ltd   178,785 
 117,628  *  Tech Data Corp   9,660 
 22,033  *,g  Tejas Networks Ltd   94 
 34,857  *,e  TELCON, Inc   307 
 82,495     Test Research, Inc   169 
 17,421  *  Texcell-NetCom Co Ltd   331 
 41,000     Thinking Electronic Industrial Co Ltd   120 
 53,914  *,e  Tobii AB   240 
 97,625     Tong Hsing Electronic Industries Ltd   338 
 4,350,000     Tongda Group Holdings Ltd   879 
 57,700     Topcon Corp   988 
 641,000     Toshiba TEC Corp   3,897 
 198,000  *  TPK Holding Co Ltd   417 
 145,000     Transcend Information, Inc   402 
 928,761  *  Trimble Navigation Ltd   30,501 
 1,419,832     Tripod Technology Corp   3,899 
 868,000  e  Truly International Holdings   165 
 11,800     TSC Auto ID Technology Co Ltd   86 
 142,665  *  TTM Technologies, Inc   2,515 
 170,039     TXC Corp   213 
 63,836  *,e  Ubiquiti Networks, Inc   5,408 
 793,883     Unimicron Technology Corp   423 
 325,000  *  Unitech Printed Circuit Board Corp   220 
 78,197  *  USA Technologies, Inc   1,095 
 16,600     V Technology Co Ltd   3,062 
 349,600     Venture Corp Ltd   4,568 
 164,843  *  VeriFone Systems, Inc   3,762 
 83,117  *,e  Viasat, Inc   5,462 
 346,102  *  Viavi Solutions, Inc   3,544 
 371,715  e  Vishay Intertechnology, Inc   8,624 
 164,566  *  Vishay Precision Group, Inc   6,278 
 4,131,675     VS Industry BHD   1,582 
 1,316,800     VST Holdings Ltd   658 
 95,600     Vtech Holdings Ltd   1,102 
 78,300  e  Wacom Co Ltd   444 
 2,397,000     Wah Lee Industrial Corp   4,179 
 445,000     Walsin Technology Corp   6,075 
 2,528,000     Wasion Group Holdings Ltd   1,373 
 747,193     Western Digital Corp   57,840 
 17,688     Wincor Nixdorf AG.   1,179 
 190,500  *,†,b,m  Wintek Corp    0^
 2,102,548     Wistron Corp   1,559 
 175,055     Wistron NeWeb Corp   417 
 4,736,000     World Wide Touch Technology Ho   259 
169

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,411,732     WPG Holdings Co Ltd  $1,999 
 2,793,744     WT Microelectronics Co Ltd   4,071 
 1,358,820     Xerox Corp   32,612 
 184,000  *  XI’an Haitiantian Holdings Co Ltd   99 
 15,750  *,†,m  Ya Hsin Industrial Co Ltd   0 
 633,000     Yageo Corp   23,265 
 69,193     Yamatake Corp   3,011 
 219,738     Yaskawa Electric Corp   7,738 
 42,484     Yokogawa Electric Corp   754 
 213,659  *  Zebra Technologies Corp (Class A)   30,607 
 383,405     Zhen Ding Technology Holding Ltd   846 
 149,000     Zinwell Corp   122 
 481,338  *  ZTE Corp   728 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   5,928,117 
                 
TELECOMMUNICATION SERVICES - 1.9%        
 24,738  *  012 Smile.Communications Ltd   227 
 2,632,989     Advanced Info Service PCL (Foreign)   14,695 
 471,869  *  AFK Sistema (GDR)   1,287 
 97,594     AFK Sistema (GDR)   266 
 40,792,584     America Movil S.A. de C.V. (Series L)   34,034 
 222,250     APT Satellite Holdings Ltd   91 
 913,000  *  Asia Pacific Telecom Co Ltd   239 
 16,774,882     AT&T, Inc   538,641 
 15,687     ATN International, Inc   828 
 661,100  *,e  Axtel SAB de C.V.   132 
 262,435     BCE, Inc   10,628 
 4,431,402     Bezeq Israeli Telecommunication Corp Ltd   4,994 
 1,397,306     Bharti Airtel Ltd   7,796 
 590,428     Bharti Infratel Ltd   2,595 
 197,895  *  Boingo Wireless, Inc   4,470 
 6,103,228     BT Group plc   17,509 
 35,934  *  Cellcom Israel Ltd   205 
 298,717  g  Cellnex Telecom SAU   7,510 
 2,302,418     CenturyLink, Inc   42,917 
 1,921,371     China Communications Services Corp Ltd   1,214 
 5,255,399     China Mobile Hong Kong Ltd   46,631 
 51,882,457     China Telecom Corp Ltd   24,345 
 5,009,681     China Unicom Ltd   6,244 
 226,356     Chorus Ltd   641 
 3,178,988     Chunghwa Telecom Co Ltd   11,457 
 62,042  *  Cincinnati Bell, Inc   974 
 6,537,000     Citic 1616 Holdings Ltd   1,713 
 63,693     Cogent Communications Group, Inc   3,401 
 338,291     Com Hem Holding AB   5,488 
 106,128  e  Consolidated Communications Holdings, Inc   1,312 
 4,458,658     Deutsche Telekom AG.   68,906 
 7,809,639     Digi.Com BHD   8,027 
 9,538     Digital Multimedia Technologies S.p.A.   527 
 105,884     DNA Oyj   2,530 
 114,304     Drillisch AG.   6,484 
 252,601     Elisa Oyj (Series A)   11,670 
 3,327,847     Emirates Telecommunications Group Co PJSC   14,632 
170

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 132,477     Empresa Nacional de Telecomunicaciones S.A.  $1,227 
 48,096  g  Euskaltel S.A.   435 
 1,307,236     Far EasTone Telecommunications Co Ltd   3,377 
 75,021     Freenet AG.   1,984 
 291,009  e  Frontier Communications Corp   1,560 
 27,236     Globe Telecom, Inc   786 
 9,872  *  Hawaiian Telcom Holdco, Inc   285 
 241,650     Hellenic Telecommunications Organization S.A.   2,981 
 1,616,768  *  Himachal Futuristic Communications   684 
 2,499,500     HKBN Ltd   3,845 
 2,917,535     HKT Trust and HKT Ltd   3,722 
 854,651  e  Hutchison Telecommunications Hong Kong Holdings Ltd   301 
 2,141,882  *  Idea Cellular Ltd   1,859 
 72,929  e  Iliad S.A.   11,507 
 204,204  g  Infrastrutture Wireless Italiane S.p.A   1,571 
 271,132     Inmarsat plc   1,961 
 48,536  *  Inscobee, Inc   403 
 60,380  *,e  Intelsat S.A.   1,006 
 145,889  *,e  Iridium Communications, Inc   2,349 
 2,001,900     Jasmine International PCL   261 
 915,920     Kcom Group plc   1,170 
 782,898     KDDI Corp   21,408 
 4,239,418     Koninklijke KPN NV   11,528 
 18,143     KT Corp   446 
 222,725  *,†,e,m  Let’s GOWEX S.A.   13 
 1,316,147     Magyar Telekom   1,872 
 109,463  *  Masmovil Ibercom S.A.   12,689 
 1,973,990     Maxis BHD   2,670 
 9,863     MegaFon OAO (GDR)   87 
 49,464  e  Millicom International Cellular S.A.   2,907 
 934,718     Mobile TeleSystems (ADR)   8,254 
 1,484,409  e  MobileOne Ltd   1,741 
 18,009  e  Mobistar S.A.   304 
 1,773,747     MTN Group Ltd   13,952 
 318,275     Netia S.A.   428 
 1,850,900  e  NetLink NBN Trust   1,005 
 249,042  *,e  NII Holdings, Inc   971 
 1,188,936     Nippon Telegraph & Telephone Corp   54,011 
 2,943,430     NTT DoCoMo, Inc   75,005 
 105,435  *,e  Ooma, Inc   1,492 
 170,369  *  Ooredoo QSC   3,403 
 2,275,372     Orange S. A.   37,981 
 1,339,180  *  Orascom Telecom Holding SAE   353 
 110,557  *  Orbcomm, Inc   1,117 
 70,305  *  Partner Communications   265 
 7,991,741     PCCW Ltd   4,497 
 14,670  *,e  pdvWireless, Inc   366 
 95,730  g  PLAY Communications S.A.   653 
 149,087     PLDT, Inc   3,569 
 16,067     Proximus plc   361 
 25  *  PT Excelcomindo Pratama    0^
 721,000     PT Link Net Tbk   221 
 38,945,524     PT Telekomunikasi Indonesia Persero Tbk   10,200 
171

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 274,509  *  Reliance Communication Ventures Ltd  $55 
 747,545     Rogers Communications, Inc (Class B)   35,505 
 40,531     Rostelecom (ADR)   284 
 152,068  *  Sejong Telecom, Inc   78 
 70,100     Shenandoah Telecom Co   2,292 
 1,564,800  *  Singapore Telecommunications Ltd   3,536 
 6,343,753     Singapore Telecommunications Ltd   14,323 
 96,320     SK Telecom Co Ltd   20,132 
 379,877  e  SmarTone Telecommunications Holding Ltd   392 
 983,266     Softbank Corp   70,213 
 597,316     SpeedCast International Ltd   2,725 
 29,108     Spok Holdings, Inc   438 
 2,128,752  *,e  Sprint Corp   11,580 
 360,500  e  StarHub Ltd   439 
 133,038  g  Sunrise Communications Group AG.   10,810 
 46,676     Swisscom AG.   20,833 
 1,305,942     Taiwan Mobile Co Ltd   4,731 
 403,167  e  TalkTalk Telecom Group plc   557 
 40,093     Tata Communications Ltd   347 
 918,043     Tele2 AB (B Shares)   10,752 
 1,486,773     Telecom Corp of New Zealand Ltd   3,752 
 1,195,609     Telecom Egypt   940 
 10,756,416     Telecom Italia RSP   7,000 
 1,855,205  *  Telecom Italia S.p.A.   1,374 
 751,199  *  Telefonica Brasil S.A.   8,865 
 78,530     Telefonica Deutschland Holding AG.   309 
 140,047  *  Telefonica O2 Czech Republic AS   1,610 
 3,773,533     Telefonica S.A.   32,028 
 116,862     Telekom Austria AG.   974 
 831,783     Telekom Malaysia BHD   640 
 645,704  *  Telekomunikacja Polska S.A.   797 
 1,168,615     Telenor ASA   23,934 
 603,727  e  Telephone & Data Systems, Inc   16,554 
 830,601  *,e  Telesites SAB de C.V.   603 
 2,574,611     TeliaSonera AB   11,735 
 275,695  e  Telkom S.A. Ltd   983 
 6,598,902     Telstra Corp Ltd   12,763 
 155,103     TELUS Corp   5,510 
 261,700     Thaicom PCL   55 
 1,863,384     Tim Participacoes S.A.   6,337 
 229,220     Time dotCom BHD   434 
 2,174,575     TM International BHD   2,046 
 1,334,848  *  T-Mobile US, Inc   79,757 
 1,216,683     Tower Bersama Infrastructure   424 
 236,679  e  TPG Telecom Ltd   905 
 6,375,116     True Corp PCL (Foreign)   1,018 
 6,458,417     Turkcell Iletisim Hizmet AS   17,121 
 33,087  *  US Cellular Corp   1,226 
 9,521,000     Verizon Communications, Inc   479,002 
 643,174     Vocus Communications Ltd   1,098 
 678,601  e  Vodacom Group Pty Ltd   6,074 
 48,781,447     Vodafone Group plc   118,163 
 219,400     Vodafone Group plc (ADR)   5,334 
172

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 198,086  *  Vodafone Qatar  $479 
 1,094,446  *  Vonage Holdings Corp   14,107 
 72,120  *,e  Windstream Holdings, Inc   380 
 466,260  *  Zayo Group Holdings, Inc   17,009 
       TOTAL TELECOMMUNICATION SERVICES   2,313,665 
                 
TRANSPORTATION - 2.1%    
 52,528     Abertis Infraestructuras S.A. (Continuous)   1,126 
 23,529     Aegean Airlines S.A.   232 
 91,169  g  Aena S.A.   16,506 
 7,630  e  Aeroporto Guglielmo Marconi Di Bologna S.p.A   136 
 31,043     Aeroports de Paris   7,012 
 7,680,580     Air Arabia PJSC   2,047 
 63,641  *  Air Canada   1,029 
 1,475,225     Air China Ltd   1,418 
 113,101  *  Air France-KLM   924 
 741,806     Air New Zealand Ltd   1,594 
 141,574  *  Air Transport Services Group, Inc   3,198 
 3,503,000     AirAsia BHD   2,596 
 1,123,025  *  AirAsia X BHD   94 
 3,802,500     Airports of Thailand PCL   7,229 
 284,124     Alaska Air Group, Inc   17,158 
 891,624  e,g  ALD S.A.   15,185 
 49,987  e  All Nippon Airways Co Ltd   1,834 
 26,477     Allcargo Logistics Ltd   41 
 19,611     Allegiant Travel Co   2,725 
 13,704     Amerco, Inc   4,881 
 1,323,236     American Airlines Group, Inc   50,230 
 634,771  *,†,b,e,m  AMR Corp (Escrow)   6 
 3,933     AP Moller - Maersk AS (Class A)   4,648 
 5,699     AP Moller - Maersk AS (Class B)   7,050 
 156,522     Arkansas Best Corp   7,153 
 664,318  *  Asiana Airlines   2,465 
 35,989  *  Atlas Air Worldwide Holdings, Inc   2,580 
 896,780     Atlas Arteria Ltd   4,267 
 626,681     Auckland International Airport Ltd   2,875 
 128,260     Autostrada Torino-Milano S.p.A.   2,962 
 512,058     Autostrade S.p.A.   15,097 
 828,345     Avianca Holdings S.A.   666 
 190,178  *  Avis Budget Group, Inc   6,181 
 451,600     Bangkok Airways Co Ltd   155 
 135,150     Bangkok Aviation Fuel Services PCL   128 
 2,709,553     Bangkok Expressway & Metro PCL   609 
 687,736     BBA Aviation plc   3,085 
 1,572,097     Beijing Capital International Airport Co Ltd   1,651 
 422,500  *  Beijing Sports and Entertainment Industry Group Ltd   148 
 6,733     Blue Dart Express Ltd   359 
 628,305  e  Bollore   2,918 
 317,967     bpost S.A.   5,024 
 5,152,527     BTS Group Holdings PCL   1,369 
 845,766     Canadian National Railway Co   69,178 
 162,008     Canadian Pacific Railway Ltd (Toronto)   29,689 
 832,000  *  CAR, Inc   830 
 139,660     Cathay Pacific Airways Ltd   219 
173

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 606,510     Cebu Air, Inc  $788 
 134,064     Central Japan Railway Co   27,755 
 155,694     CH Robinson Worldwide, Inc   13,025 
 1,249,335  *  China Airlines   390 
 2,426,000  *  China COSCO Holdings Co Ltd   1,109 
 1,372,000     China Eastern Airlines Corp Ltd (H Shares)   925 
 1,214,525     China Merchants Holdings International Co Ltd   2,460 
 3,680,000  *,e  China Shipping Container Lines Co Ltd   613 
 1,220,000     China Shipping Development Co Ltd   586 
 1,499,500     China Southern Airlines Co Ltd   1,175 
 360,691  e  Chorus Aviation, Inc   1,932 
 1,033,999     Cia de Concessoes Rodoviarias   2,700 
 36,941     Cia de Distribucion Integral Logista Holdings SAU   953 
 1,031,590     ComfortDelgro Corp Ltd   1,775 
 8,733,716  *  Compania SudAmericana de Vapores S.A.   249 
 140,430     Container Corp Of India Ltd   1,337 
 399,000  *,e  Controladora Vuela Cia de Aviacion SAB de C.V.   203 
 162,128     Copa Holdings S.A. (Class A)   15,341 
 48,463  *  Cosan Logistica S.A.   120 
 1,354,000     Cosco International Holdings Ltd   514 
 1,652,949     COSCO Pacific Ltd   1,375 
 228,961  e  Costamare, Inc   1,827 
 62,951  *  Covenant Transportation Group, Inc   1,983 
 2,048,525     CSX Corp   130,655 
 82,776  e  CTT-Correios de Portugal S.A.   290 
 15,249  *  D/S Norden   269 
 204,500     Daqin Railway Co Ltd   253 
 393,521     Dart Group plc   4,034 
 62,041  *,e  Daseke, Inc   616 
 1,360,886     Delta Air Lines, Inc   67,418 
 1,059,179     Deutsche Lufthansa AG.   25,375 
 981,059     Deutsche Post AG.   31,875 
 136,367     Dfds A.S.   8,680 
 160,689     DP World Ltd   3,696 
 961,654     DSV AS   77,415 
 72,251  *  Eagle Bulk Shipping, Inc   393 
 427,988     East Japan Railway Co   40,986 
 382,828     easyJet plc   8,422 
 211,165  *  Echo Global Logistics, Inc   6,177 
 185,900     EcoRodovias Infraestrutura e Logistica S.A.   355 
 15,300  *,e  eHi Car Services Ltd (ADR)   198 
 671,188  g  Enav S.p.A   3,358 
 61,328  g  Europcar Groupe S.A.   638 
 7,923,401     Eva Airways Corp   3,830 
 246,000     Evergreen International Storage & Transport Corp   106 
 1,773,582  *  Evergreen Marine Corp Tawain Ltd   755 
 4,117  e  Exchange Income Corp   100 
 64,420     Expeditors International of Washington, Inc   4,709 
 1,158,198     FedEx Corp   262,980 
 470,497     Finnair Oyj   5,072 
 708,052  *  Firstgroup plc   776 
 11,679     Flughafen Zuerich AG.   2,376 
 137,548     Forward Air Corp   8,126 
174

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 97,500     Fraport AG. Frankfurt Airport Services Worldwide  $9,380 
 131,895     Freightways Ltd   698 
 68,800     Fukuyama Transporting Co Ltd   3,512 
 96,720     Gateway Distriparks Ltd   251 
 242,425  *  Genco Shipping & Trading Ltd   3,758 
 109,630  *  Genesee & Wyoming, Inc (Class A)   8,915 
 18,190     GLOVIS Co Ltd   1,885 
 159,887     Go-Ahead Group plc   3,340 
 71,800  *  Gol Linhas Aereas Inteligentes S.A.   193 
 461,977     Golden Ocean Group Ltd   3,959 
 278,921  *  Grindrod Ltd   191 
 6,973  *  Grindrod Shipping Holdings Ltd   73 
 339,247     Groupe Eurotunnel S.A.   4,651 
 210,100  *  Grupo Aeromexico SAB de C.V.   286 
 228,700     Grupo Aeroportuario del Centro Norte Sab de C.V.   1,193 
 513,531     Grupo Aeroportuario del Pacifico S.A. de C.V. (B Shares)   4,755 
 269,020     Grupo Aeroportuario del Sureste S.A. de C.V. (Class B)   4,272 
 826,525     Guangdong Provincial Expressway Development Co Ltd   653 
 607,000     Guangdong Yueyun Transportation Co Ltd   367 
 226,436     Gujarat Pipavav Port Ltd   349 
 16,518     Gulf Warehousing Co   189 
 77,000     Hainan Meilan International Airport Co Ltd   75 
 31,300     Hamakyorex Co Ltd   917 
 71,201     Hamburger Hafen und Logistik AG.   1,540 
 30,376     Hanjin Kal Corp   460 
 4,261     Hanjin Transportation Co Ltd   81 
 369,877     Hankyu Hanshin Holdings, Inc   14,858 
 22,364  *,e,g  Hapag-Lloyd AG.   795 
 199,580     Hawaiian Holdings, Inc   7,175 
 70,161     Heartland Express, Inc   1,301 
 82,598  *,e  Hertz Global Holdings, Inc   1,267 
 151,500     Hitachi Transport System Ltd   3,877 
 6,827  m  Hopewell Highway Infrastructure Ltd   4 
 148,394  *  Hub Group, Inc (Class A)   7,390 
 6,260,700     Hutchison Port Holdings Trust   1,747 
 151,779  *  Hyundai Merchant Marine Co Ltd   686 
 1,205  *  ID Logistics Group   195 
 221,457     Iino Kaiun Kaisha Ltd   1,004 
 21,655  g  InterGlobe Aviation Ltd   344 
 2,356,333     International Consolidated Airlines Group S.A.   20,620 
 560,917     International Container Term Services, Inc   812 
 281,810     Irish Continental Group plc   1,668 
 357,729     Japan Airlines Co Ltd   12,675 
 29,700     Japan Airport Terminal Co Ltd   1,389 
 635,291     JB Hunt Transport Services, Inc   77,220 
 35,336     Jeju Air Co Ltd   1,329 
 13,107  *  Jet Airways India Ltd   66 
 1,004,923  *  JetBlue Airways Corp   19,073 
 1,211,834     Jiangsu Express   1,443 
 7,209     Jin Air Co Ltd   164 
 151,310     Jinzhou Port Co Ltd   60 
175

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 268,061     Kamigumi Co Ltd  $5,564 
 275,268     Kansas City Southern Industries, Inc   29,167 
 111,839  *,e  Kawasaki Kisen Kaisha Ltd   2,065 
 23,098     Keihin Electric Express Railway Co Ltd   378 
 11,391     Keio Corp   550 
 15,335     Keisei Electric Railway Co Ltd   526 
 1,301,649     Kerry Logistics Network Ltd   1,815 
 122,174     Kintetsu Corp   4,982 
 104,400     Kintetsu World Express, Inc   2,152 
 358,664  *  Kirby Corp   29,984 
 1,088,500     Knight-Swift Transportation Holdings, Inc   41,592 
 68,200     Konoike Transport Co Ltd   1,028 
 7,899  *  Korea Express Co Ltd   1,191 
 6,994  *  Korea Line Corp   140 
 35,939     Korean Air Lines Co Ltd   911 
 41,761     Kuehne & Nagel International AG.   6,269 
 300,886     Kyushu Railway Co   9,200 
 195,930     Lan Airlines S.A.   1,944 
 102,872     Landstar System, Inc   11,234 
 111,400     Lingkaran Trans Kota Holdings BHD   117 
 796,311     Localiza Rent A Car   4,876 
 169,104     Macquarie Infrastructure Co LLC   7,136 
 205,800     MacroAsia Corp   94 
 929,806     Malaysia Airports Holdings BHD   2,026 
 152,952     Marten Transport Ltd   3,587 
 5,500  e  Maruwa Unyu Kikan Co Ltd   201 
 81,000  e  Maruzen Showa Unyu Co Ltd   370 
 119,283     Matson, Inc   4,578 
 2,898,156     MISC BHD   4,246 
 33,150  e  Mitsubishi Logistics Corp   715 
 41,590     Mitsui OSK Lines Ltd   1,000 
 70,610     Mitsui-Soko Co Ltd   219 
 23,400     Movida Participacoes S.A.   33 
 1,544,524     MTR Corp   8,531 
 1,068,069     Mundra Port and Special Economic Zone Ltd   5,831 
 126,574     Nagoya Railroad Co Ltd   3,265 
 100,000     Nankai Electric Railway Co Ltd   2,774 
 1,038,467     National Express Group plc   5,483 
 19,934     Nippon Express Co Ltd   1,444 
 119,200     Nippon Konpo Unyu Soko Co Ltd   3,126 
 204,786     Nippon Yusen Kabushiki Kaisha   4,057 
 34,900     Nishi-Nippon Railroad Co Ltd   949 
 41,200     Nissin Corp   955 
 322,087  g  Nobina AB   2,456 
 717,427     Norfolk Southern Corp   108,238 
 73,698     Northgate plc   396 
 16,899  *  Norwegian Air Shuttle AS   516 
 43,409     Odakyu Electric Railway Co Ltd   931 
 77,108     Oesterreichische Post AG.   3,514 
 109,443     Old Dominion Freight Line   16,303 
 75,000     Orient Overseas International Ltd   730 
 9,763,290  *,e  Pacific Basin Shipping Ltd   2,668 
 3,396  *  PAM Transportation Services, Inc   160 
176

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 6,242  e  Panalpina Welttransport Holding AG.  $850 
 13,124     Park-Ohio Holdings Corp   490 
 20,549  *  Pegasus Hava Tasimaciligi AS.   110 
 5,853     Piraeus Port Authority   113 
 21,213  *  PKP Cargo S.A.   252 
 149,300     Pos Malaysia & Services Holdings BHD   147 
 113,350  *  Precious Shipping PCL   38 
 118,072     Promotora y Operadora de Infraestructura SAB de C.V.   1,055 
 12,753,500  *,†,m  PT Berlian Laju Tanker Tbk    0^
 2,238,354     PT Jasa Marga Tbk   652 
 15,237,000  *  PT Trada Maritime Tbk   361 
 128,071     Qantas Airways Ltd   583 
 35,287     Qatar Navigation QSC   630 
 1,867,151     QR National Ltd   5,971 
 798,602  e  Qube Logistics Holdings Ltd   1,422 
 259,507  *  Radiant Logistics, Inc   1,015 
 555,163     Redde plc   1,290 
 1,748,285     Royal Mail plc   11,631 
 964,700  *  Rumo S.A.   3,510 
 3,051  *  Ryanair Holdings plc   56 
 115,769  *  Ryanair Holdings plc (ADR)   13,224 
 83,815     Ryder System, Inc   6,023 
 383,825  *  Safe Bulkers, Inc   1,305 
 58,200     Sagami Railway Co Ltd   1,780 
 39,006  *  Saia, Inc   3,154 
 96  *,†,m  SAir Group   0 
 5,800  e  Sakai Moving Service Co Ltd   288 
 103,100     Sankyu, Inc   5,411 
 197,100     Santos Brasil Participacoes S.A.   142 
 409,342  *,e  SAS AB   782 
 75,025     Schneider National, Inc   2,064 
 647,245     Scorpio Bulkers, Inc   4,595 
 871,834  e  Seaspan Corp   8,875 
 155,081     Seino Holdings Corp   2,744 
 70,700     Senko Co Ltd   558 
 141,700     SG Holdings Co Ltd   3,100 
 94,000     Shandong Airlines Co Ltd   152 
 17,700  *  Shanghai International Airport Co Ltd   148 
 139,500     Shanghai International Port Group Co Ltd   125 
 102,700     Shanghai Jinjiang International Investment Holdings Co   106 
 89,100  †,m  Shenzhen Chiwan Wharf Holdings Ltd   147 
 1,023,111     Shenzhen International Holdings Ltd   2,111 
 12,000     Shinwa Kaiun Kaisha Ltd   233 
 69,730  *  Shipping Corp of India Ltd   60 
 4,092,500     Shun TAK Holdings Ltd   1,670 
 170,900  *  SIA Engineering Co Ltd   394 
 165,000     Sincere Navigation   83 
 356,123     Singapore Airlines Ltd   2,789 
 433,974     Singapore Airport Terminal Services Ltd   1,590 
 869,219  e  Singapore Post Ltd   803 
 2,465,000  e  Sinotrans Ltd   1,296 
 803,000  e  Sinotrans Shipping Ltd   211 
177

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 3,317,000     SITC International Co Ltd  $3,695 
 14,485     Sixt AG.   1,619 
 56,052     Sixt AG. (Preference)   4,389 
 7,087     Sixt Leasing AG.   143 
 161,819     Skywest, Inc   8,398 
 245,385     Societa Iniziative Autostradali e Servizi S.p.A.   3,681 
 896,096     Southwest Airlines Co   45,593 
 1,078,812  *  SpiceJet Ltd   1,721 
 369,675  *,e  Spirit Airlines, Inc   13,438 
 313,486     Stagecoach Group plc   584 
 13,289  e  Stolt-Nielsen S.A.   207 
 204,125  *  STX Pan Ocean Co Ltd   893 
 311,767     Sumitomo Warehouse Co Ltd   1,889 
 888,903  e  Sydney Airport   4,706 
 117,000     T.Join Transportation Co   152 
 1,862,000     Taiwan High Speed Rail Corp   1,459 
 395,858     TAV Havalimanlari Holding AS   1,938 
 179,800     Tegma Gestao Logistica   715 
 106,525     TFI International, Inc   3,286 
 457,200  *  Thai Airways International PCL (Foreign)   174 
 1,188,000     Tianjin Port Development Holdings Ltd   144 
 302,073     TNT NV   1,132 
 137,152     Tobu Railway Co Ltd   4,192 
 701,497     Tokyu Corp   12,071 
 3,300  *  Tonami Holdings Co Ltd   196 
 74,338     Tourism Holdings Ltd   335 
 4,000     Trancom Co Ltd   275 
 1,709,191     Transurban Group (ASE)   15,135 
 477,581  *  Turk Hava Yollari   1,408 
 243,000     U-Ming Marine Transport Corp   267 
 3,206,301     Union Pacific Corp   454,269 
 636,172  *  United Continental Holdings, Inc   44,360 
 1,223,698     United Parcel Service, Inc (Class B)   129,993 
 21,510     Universal Truckload Services, Inc   565 
 12,142  *  USA Truck, Inc   285 
 60,603  *  Virgin Australia Holdings Ltd   10 
 67,336  *,†,m  Virgin Australia Int Holdings    0^
 13,654     VRL Logistics Ltd   65 
 25,189     VTG AG.   1,424 
 330,000     Wan Hai Lines Ltd   183 
 72,459     Werner Enterprises, Inc   2,721 
 89,002     West Japan Railway Co   6,553 
 18,270     WestJet Airlines Ltd   252 
 683,800     Westports Holdings BHD   574 
 137,731  e  Westshore Terminals Investment Corp   2,497 
 69,776  *  Wilh. Wilhelmsen ASA   326 
 168,033     Wisdom Marine Lines Co Ltd   158 
 4,324,000     Xiamen International Port Co Ltd   693 
 219,131  *  XPO Logistics, Inc   21,953 
 61,421  e  Yamato Transport Co Ltd   1,808 
 648,523  *  Yang Ming Marine Transport   191 
 50,548  *  YRC Worldwide, Inc   508 
178

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 400,000  e  Yuexiu Transport Infrastructure Ltd  $291 
 1,232,194     Zhejiang Expressway Co Ltd   1,097 
       TOTAL TRANSPORTATION   2,573,647 
                 
UTILITIES - 2.6%        
 1,702,607     A2A S.p.A.   2,947 
 3,316,910     Aboitiz Power Corp   2,160 
 13,357  e  Acciona S.A.   1,103 
 46,173     ACEA S.p.A.   685 
 763,795     Actelios S.p.A.   1,839 
 365,280  *  Adani Green Energy Ltd   143 
 275,476  *  Adani Power Ltd   65 
 1,403,681     AES Corp   18,823 
 1,890,995     AES Gener S.A.   463 
 108,100  *  AES Tiete S.A.   269 
 348,364  *,†,e,m  AET&D Holdings No 1 Ptd Ltd   0 
 567,714     AGL Energy Ltd   9,446 
 1,185,630     Aguas Andinas S.A.   647 
 92,156  *  Aksa Enerji Uretim AS   84 
 226,656  e  Algonquin Power & Utilities Corp   2,190 
 179,439     Allete, Inc   13,890 
 1,502,312     Alliant Energy Corp   63,578 
 329,810     Alupar Investimento S.A.   1,293 
 443,753     Ameren Corp   27,002 
 1,078,893     American Electric Power Co, Inc   74,713 
 55,034     American States Water Co   3,146 
 249,401     American Water Works Co, Inc   21,294 
 886,949     APA Group (ASE)   6,462 
 124,322     Aqua America, Inc   4,374 
 84,761  *,e  AquaVenture Holdings Ltd   1,321 
 11,368     Artesian Resources Corp   441 
 41,990     Ascopiave S.p.A.   147 
 305,104     Atco Ltd   9,418 
 129,633     Athens Water Supply & Sewage Co S.A.   847 
 853,955  *,e  Atlantic Power Corp   1,879 
 574,393     Atmos Energy Corp   51,776 
 1,177,906     AusNet Services   1,399 
 178,818     Avangrid, Inc   9,465 
 99,535     Avista Corp   5,242 
 396,696     Aygaz AS   946 
 1,338,804  *  Babcock & Brown Wind Partners   654 
 382,800     BCPG PCL   182 
 175,500     Beijing Capital Co Ltd   112 
 484,799     Beijing Enterprises Holdings Ltd   2,354 
 4,740,191  e  Beijing Enterprises Water Group Ltd   2,578 
 10,700,000     Benpres Holdings Corp   718 
 60,012     BKW S.A.   3,873 
 81,507  e  Black Hills Corp   4,989 
 3,040,000  *,e  Blue Sky Power Holdings Ltd   194 
 33,082     Boralex, Inc   530 
 33,905  *,e  Cadiz, Inc   444 
 73,193     California Water Service Group   2,851 
 80,470     Canadian Utilities Ltd   2,032 
179

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 416,000  e  Canvest Environment Protection Group Co Ltd  $223 
 249,037  e  Capital Power Corp   4,779 
 52,592     Capital Stage AG.   383 
 829,922     Centerpoint Energy, Inc   22,997 
 293,200  *  Centrais Eletricas Brasileiras S.A.   922 
 237,979     Centrais Eletricas Brasileiras S.A. (Preference)   832 
 4,492,220     Centrica plc   9,328 
 106,803     CESC Ltd   1,424 
 269,971     CEZ AS   6,396 
 1,844,000  e  CGN New Energy Holdings Co Ltd   326 
 9,312,000  g  CGN Power Co Ltd   2,404 
 81,490     Chesapeake Utilities Corp   6,515 
 9,523,000     China Datang Corp Renewable Power Co Ltd   1,622 
 328,000  e,g  China Everbright Greentech Ltd   342 
 486,000     China Everbright Water Ltd   142 
 1,871,108     China Gas Holdings Ltd   7,502 
 2,849,627     China Longyuan Power Group Corp   2,289 
 177,400  *  China National Nuclear Power Co Ltd   151 
 2,648,000  e  China Oil and Gas Group Ltd   205 
 279,500     China Power Clean Energy Development Co Ltd   136 
 4,300,000     China Power International Development Ltd   990 
 913,580     China Resources Gas Group Ltd   3,950 
 7,502,983     China Resources Power Holdings Co   13,186 
 588,000  e  China Water Affairs Group Ltd   613 
 118,700     China Yangtze Power Co Ltd   289 
 613,427     Chubu Electric Power Co, Inc   9,198 
 207,557     Chugoku Electric Power Co, Inc   2,681 
 100,500     Cia de Gas de Sao Paulo-COMGAS   1,538 
 324,800     Cia de Saneamento Basico do Estado de Sao Paulo   1,952 
 210,680     Cia de Saneamento de Minas Gerais-COPASA   2,230 
 157,800     Cia de Saneamento do Parana   1,932 
 945,233     Cia Energetica de Minas Gerais   1,780 
 143,300     Cia Energetica de Sao Paulo (Class B)   605 
 8,704     Cia Energetica do Ceara   106 
 75,300     Cia Paranaense de Energia   426 
 797,417     CK Infrastructure Holdings Ltd   5,903 
 1,326,900     CK Power PCL   150 
 2,069,056     CLP Holdings Ltd   22,287 
 266,257     CMS Energy Corp   12,589 
 7,576,714     Colbun S.A.   1,565 
 17,515     Connecticut Water Service, Inc   1,144 
 151,372     Consolidated Edison, Inc   11,804 
 20,153     Consolidated Water Co, Inc   260 
 808,987     Contact Energy Ltd   3,203 
 1,424,000  e  CT Environmental Group Ltd   197 
 3,064,000  *  Datang International Power Generation Co Ltd   935 
 2,444,590     Dominion Resources, Inc   166,672 
 237,973     Drax Group plc   1,026 
 417,377     DTE Energy Co   43,253 
 1,256,731     Duke Energy Corp   99,382 
 5,712,681     E.ON AG.   60,866 
 797,936     Edison International   50,485 
 341,378     EDP - Energias do Brasil S.A.   1,222 
180

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 61,703     El Paso Electric Co  $3,647 
 355,300     Electric Power Development Co   9,170 
 1,198,896     Electricite de France   16,451 
 134,500     Electricity Generating PCL   908 
 73,800     Eletropaulo Metropolitana Eletricidade de Sao Paulo S.A.   800 
 30,237     Elia System Operator S.A.   1,880 
 87,382     Emera, Inc   2,845 
 346,204     Empresa Electrica del Norte Grande S.A.   636 
 653,073  e  Endesa S.A.   14,362 
 807,710     Enea S.A.   1,965 
 8,376,090     Enel S.p.A.   46,413 
 900,255     Energa S.A.   2,142 
 2,067,188     Energias de Portugal S.A.   8,193 
 1     Energix-Renewable Energies Ltd    0^
 63,327,573     Enersis Chile S.A.   6,250 
 25,463,304     Enersis S.A.   4,470 
 323,741     Engie Brasil Energia S.A.   2,859 
 951,228     ENN Energy Holdings Ltd   9,316 
 1,367,377     Entergy Corp   110,470 
 155,600     Equatorial Energia S.A.   2,280 
 19,000  e  eRex Co Ltd   199 
 438,334     ERG S.p.A.   9,561 
 573,799     Evergy, Inc   32,219 
 195,063     Eversource Energy   11,433 
 59,853     EVN AG.   1,116 
 3,303,975     Exelon Corp   140,749 
 69,348  m  Federal Grid Co Unified Energy System JSC (GDR)   104 
 852,900     First Gen Corp   231 
 554,980     First Philippine Holdings Corp   635 
 7,135,666     FirstEnergy Corp   256,242 
 220,117     Fortis, Inc   7,036 
 1,187,950     Fortum Oyj   28,296 
 1,246,468     GAIL India Ltd   6,195 
 621,000     Gas Malaysia BHD   441 
 326,168  *,e  Gas Natural SDG S.A.   8,623 
 54,838  *  Gayatri Highways Ltd   8 
 2,235,603     Gaz de France   34,197 
 4,352,000  *,e  GCL New Energy Holdings Ltd   177 
 861,130     Genesis Energy Ltd   1,423 
 15,513  e  Global Water Resources, Inc   146 
 630,471     Glow Energy PCL (Foreign)   1,803 
 2,699,066     Guangdong Investments Ltd   4,272 
 53,742     Gujarat Gas Co Ltd   572 
 81,219     Gujarat State Petronet Ltd   214 
 92,152     Hawaiian Electric Industries, Inc   3,161 
 685,273     Hera S.p.A.   2,132 
 1,709,552  e,g  HK Electric Investments & HK Electric Investments Ltd   1,630 
 121,500     Hokkaido Electric Power Co, Inc   827 
 98,600  e  Hokuriku Electric Power Co   990 
 82,589  *  Holding CO ADMIE IPTO S.A.   167 
 8,697,136     Hong Kong & China Gas Ltd   16,625 
 1,355,179     Hong Kong Electric Holdings Ltd   9,474 
181

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 277,230  *  Huadian Energy Co Ltd  $88 
 1,620,000  e  Huadian Power International Co   639 
 204,400  *  Huadian Power International Corp Ltd   121 
 121,700     Huaneng Power International, Inc   117 
 3,681,756     Huaneng Power International, Inc   2,433 
 5,152,000     Huaneng Renewables Corp Ltd   1,708 
 428,800     Hub Power Co Ltd   325 
 176,800  *  Hubei Energy Group Co Ltd   110 
 202,520  g  Hydro One Ltd   3,087 
 5,905,420     Iberdrola S.A.   45,541 
 172,825     Idacorp, Inc   15,941 
 105,685  *  Indiabulls Infrastructure and Power Ltd   6 
 132,745  *  Indraprastha Gas Ltd   493 
 2,194,000     Infraestructura Energetica ,NV SAB de C.V.   9,792 
 1,401,510     Infratil Ltd   3,206 
 147,195  e  Innergex Renewable Energy, Inc   1,546 
 109,914  g  Innogy SE   4,696 
 1,027,900  *,†,m  Inter Far East Energy Corp    0^
 900,199     Interconexion Electrica S.A.   4,453 
 855,706     Inversiones Aguas Metropolitanas S.A.   1,303 
 2,247,108     Iride S.p.A.   5,734 
 979,900     Italgas S.p.A   5,393 
 697,177     JSW Energy Ltd   668 
 307,477     Just Energy Income Fund   1,109 
 25,800     K&O Energy Group, Inc   435 
 395,000  g  Kangda International Environmental Co Ltd   61 
 1,438,168     Kansai Electric Power Co, Inc   20,974 
 60,421     Kenon Holdings Ltd   918 
 5,282,300  e  Keppel Infrastructure Trust   2,015 
 3,450,000  *  Kong Sun Holdings Ltd   79 
 6,473     Korea District Heating Corp   387 
 217,482     Korea Electric Power Corp   6,238 
 148,664  *  Korea Gas Corp   8,545 
 151,500     Kot Addu Power Co Ltd   67 
 364,875     Kyushu Electric Power Co, Inc   4,074 
 56,900     Light S.A.   165 
 12,900     Mahanagar Gas Ltd   156 
 594,600     Malakoff Corp BHD   121 
 667,630     Manila Electric Co   4,448 
 684,500     Manila Water Co, Inc   359 
 423,697     MDU Resources Group, Inc   12,152 
 861,845     Meridian Energy Ltd   1,820 
 52,456     MGE Energy, Inc   3,307 
 23,208     Middlesex Water Co   979 
 403,811     Mighty River Power Ltd   921 
 89,697  *,m  Mosenergo Pao (Sponsored ADR)   199 
 267,547     Mosenergo PJSC (ADR)   498 
 119,129     National Fuel Gas Co   6,309 
 3,151,397     National Grid plc   34,826 
 217,685     New Jersey Resources Corp   9,741 
 1,369,068     NextEra Energy, Inc   228,675 
 26,200     Nippon Gas Co Ltd   1,525 
 2,188,503     NiSource, Inc   57,514 
182

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 266,048  e  Northland Power Income Fund  $4,964 
 43,531     Northwest Natural Gas Co   2,777 
 170,741     NorthWestern Corp   9,775 
 614,153     NRG Energy, Inc   18,854 
 226,131     NRG Yield, Inc (Class A)   3,856 
 95,518     NRG Yield, Inc (Class C)   1,643 
 2,924,663     NTPC Ltd   6,821 
 481,505     OGE Energy Corp   16,954 
 288,301     Okinawa Electric Power Co, Inc   6,014 
 34,200     Omega Geracao S.A.   143 
 190,263     ONE Gas, Inc   14,220 
 60,517     Ormat Technologies, Inc   3,219 
 333,511  g  Orsted AS   20,151 
 327,112     Osaka Gas Co Ltd   6,773 
 59,519     Otter Tail Corp   2,833 
 20,000  *,e  Pampa Energia S.A. (ADR)   715 
 2,290,000  *,e  Panda Green Energy Group Ltd   166 
 425,254  e  Pattern Energy Group, Inc   7,974 
 598,178     Pennon Group plc   6,256 
 757,191     Petronas Gas BHD   3,237 
 1,953,482     PG&E Corp   83,140 
 1,173,909     Pinnacle West Capital Corp   94,570 
 143,405     PNM Resources, Inc   5,578 
 765,344  *  Polska Grupa Energetyczna S.A.   1,902 
 336,958     Portland General Electric Co   14,408 
 6,611  e  Poweo   325 
 2,255,155     Power Grid Corp of India Ltd   6,153 
 666,551     PPL Corp   19,030 
 9,831,232     PT Perusahaan Gas Negara Persero Tbk   1,364 
 2,069,178     PTC India Ltd   2,291 
 44,978  *  Public Power Corp   97 
 451,418     Public Service Enterprise Group, Inc   24,440 
 28,698  *  Pure Cycle Corp   274 
 47,843  *  Qatar Electricity & Water Co   2,470 
 500,000     Ratchaburi Electricity Generating Holding PCL (ADR)   773 
 406,164  e  Red Electrica Corp S.A.   8,252 
 1,135,275  e  Redes Energeticas Nacionais S.A.   3,176 
 464,780     Reliance Energy Ltd   2,660 
 337,651  *  Reliance Power Ltd   158 
 10,251  e  RGC Resources, Inc   299 
 60,756     Rubis S.C.A   3,787 
 134,243  *  RusHydro PJSC (ADR)   141 
 2,114,912     RusHydro PJSC (ADR)   2,209 
 462,146     RWE AG.   10,502 
 16,330     Samchully Co Ltd   1,642 
 262,672     SCANA Corp   10,118 
 47,870  e,g  Scatec Solar ASA   323 
 1,236,480     Scottish & Southern Energy plc   22,072 
 125,000  *  SDIC Power Holdings Co Ltd   137 
 14,449     Sechilienne-Sidec   326 
 1,173,086     Sempra Energy   136,207 
 169,512     Severn Trent plc   4,420 
183

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 147,900  *  Shenergy Co Ltd  $112 
 135,000     Shenzhen Energy Group Co Ltd   100 
 444,200     Shikoku Electric Power Co, Inc   5,941 
 178,600     Shizuoka Gas Co Ltd   1,637 
 95,100  *  Sichuan Chuantou Energy Co Ltd   125 
 19,693,480  e  SIIC Environment Holdings Ltd   6,071 
 51,018     SJW Corp   3,378 
 128,000  *,†,m  Sound Global Ltd    0^
 177,245  e  South Jersey Industries, Inc   5,932 
 524,674     Southern Co   24,298 
 240,676     Southwest Gas Corp   18,356 
 22,693  e  Spark Energy, Inc   221 
 984,574     Spark Infrastructure Group   1,661 
 260,200     SPCG PCL   152 
 123,141     Spire, Inc   8,700 
 310,102     Suez Environnement S.A.   4,011 
 8,049,400  *  Super Energy Corp PCL (Foreign)   153 
 623,321  e  Superior Plus Corp   6,026 
 211,450     Taiwan Cogeneration Corp   188 
 1,305,398     Tata Power Co Ltd   1,396 
 688,409  *  Tauron Polska Energia S.A.   420 
 33,128     Telecom Plus plc   492 
 4,508,541     Tenaga Nasional BHD   16,345 
 169,864     Terna Energy S.A.   1,019 
 1,044,614  e  Terna Rete Elettrica Nazionale S.p.A.   5,642 
 225,148     TerraForm Power, Inc   2,634 
 886,200     Thai Tap Water Supply PCL   313 
 248,000     Tianjin Development Hldgs Ltd   103 
 48,375     Toho Gas Co Ltd   1,676 
 281,408     Tohoku Electric Power Co, Inc   3,438 
 1,739,116  *  Tokyo Electric Power Co, Inc   8,097 
 483,461     Tokyo Gas Co Ltd   12,837 
 178,279     Torrent Power Ltd   591 
 1,255,000     Towngas China Co Ltd   1,214 
 259,990     TransAlta Corp   1,305 
 72,456     TransAlta Renewables, Inc   686 
 140,700     Transmissora Alianca de Energia Eletrica S.A.   679 
 328,476     UGI Corp   17,104 
 229,392     Uniper SE   6,830 
 490,168     United Utilities Group plc   4,928 
 27,812     Unitil Corp   1,420 
 26,283     VA Tech Wabag Ltd   149 
 53,125  e  Valener, Inc   817 
 25,000  e  Vanguard FTSE Developed Markets ETF   1,073 
 96,291     Vectren Corp   6,880 
 457,022     Veolia Environnement   9,766 
 1,274,324  *  Vistra Energy Corp   30,151 
 45,280  *,e  Vivint Solar, Inc   224 
 203,708     WEC Energy Group, Inc   13,170 
 77,450     WGL Holdings, Inc   6,874 
 636,796     Xcel Energy, Inc   29,089 
 18,981     York Water Co   604 
 3,659,890     YTL Corp BHD   1,024 
184

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 13     YTL Power International BHD  $0^
 946,000     Yunnan Water Investment Co Ltd   325 
 174,000  *  Zhejiang Zheneng Electric Power Co Ltd   122 
       TOTAL UTILITIES   3,173,405 
             
       TOTAL COMMON STOCKS   121,574,064 
       (Cost $107,128,473)     
                 
PURCHASED OPTIONS - 0.0%      
                 
AUTOMOBILES & COMPONENTS - 0.0%        
 1,000     Tesla, Inc   76 
       TOTAL AUTOMOBILES & COMPONENTS   76 
                 
BANKS - 0.0%              
 2,000     Citigroup, Inc   2 
       TOTAL BANKS   2 
                 
CONSUMER SERVICES - 0.0%      
 3,000     McDonald’s Corp   7 
       TOTAL CONSUMER SERVICES   7 
                 
DIVERSIFIED FINANCIALS - 0.0%  
 1,000     Chicago Board Options Exchange SPX Volatility Index   2 
 1,200     Chicago Board Options Exchange SPX Volatility Index   3 
 2,500     Goldman Sachs Group, Inc   11 
       TOTAL DIVERSIFIED FINANCIALS   16 
                 
FOOD, BEVERAGE & TOBACCO - 0.0%    
 3,000     Coca-Cola Co   6 
 2,400     Kraft Heinz Co   10 
       TOTAL FOOD, BEVERAGE & TOBACCO   16 
                 
MATERIALS - 0.0%          
 3,000     Tronox Ltd   3 
       TOTAL MATERIALS   3 
                 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.0%  
 2,000     Broadcom Ltd   16 
 2,000     QUALCOMM, Inc   4 
 3,000     QUALCOMM, Inc   7 
185

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 944,000     QUALCOMM, Inc  $425 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   452 
                
SOFTWARE & SERVICES - 0.0%      
 3,000     Microsoft Corp   8 
 2,000     Microsoft Corp   12 
 2,000     salesforce.com, Inc   46 
       TOTAL SOFTWARE & SERVICES   66 
                
TECHNOLOGY HARDWARE & EQUIPMENT - 0.0%     
 2,500     Apple, Inc   27 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   27 
             
       TOTAL PURCHASED OPTIONS   665 
       (Cost $1,510)     
             
PREFERRED STOCKS - 0.0%        
         
CAPITAL GOODS - 0.0%        
 3,300,256  *  Cairn India Ltd   489 
       TOTAL CAPITAL GOODS   489 
             
DIVERSIFIED FINANCIALS - 0.0%    
 300,000     Daishin Securities Co Ltd Pref 2   2,191 
       TOTAL DIVERSIFIED FINANCIALS   2,191 
             
REAL ESTATE - 0.0%      
 8,497,223  *,†,m  Ayala Land, Inc   16 
       TOTAL REAL ESTATE   16 
             
       TOTAL PREFERRED STOCKS   2,696 
       (Cost $4,209)     
             
RIGHTS / WARRANTS - 0.0%      
       
BANKS - 0.0%           
 25,052,607  m  Intesa Sanpaolo S.p.A   0 
       TOTAL BANKS   0 
             
CAPITAL GOODS - 0.0%        
 304,956  †,e,m  Abengoa S.A. (B Shares)   0 
 108,740     Malaysian Resources Corp BHD   6 
       TOTAL CAPITAL GOODS   6 
             
CONSUMER DURABLES & APPAREL - 0.0%        
 155,990     ACS Actividades de Construccion y Servicios S.A.   161 
 232,313  e  Sacyr S.A.   13 
       TOTAL CONSUMER DURABLES & APPAREL   174 
             
DIVERSIFIED FINANCIALS - 0.0%        
 11,467  m  Emergent Capital Inc   0 
       TOTAL DIVERSIFIED FINANCIALS   0 
             
ENERGY - 0.0%          
 244,517  m  Ezion Holdings Ltd   1 
 17,790  m  Odfjell Drilling Ltd   0 
186

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 207,553     PT Medco Energi Internasional Tbk  $5 
 1,813,075  e  Repsol S.A.   1,029 
       TOTAL ENERGY   1,035 
             
HEALTH CARE EQUIPMENT & SERVICES - 0.0%
 190,191     Community Health Systems, Inc   2 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES   2 
             
MATERIALS - 0.0%
 26,242  e  Westgold Resources Ltd   4 
       TOTAL MATERIALS   4 
             
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0%
 2,121     BioTime, Inc    0^
 55,620  †,m  Forest Laboratories, Inc CVR   53 
 17,790  †,e,m  Omthera Pharmaceuticals, Inc CVR   11 
 20,027  e,m  Tobira Therapeutics, Inc   1 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   65 
             
REAL ESTATE - 0.0%        
 4,970  m  Cofinimmo S.A.   0 
 2,776,575  e  Renhe Commercial Holdings Co Ltd   3 
 310,070     Sunway BHD   27 
 66,478,080     U City PCL   20 
       TOTAL REAL ESTATE   50 
             
SOFTWARE & SERVICES - 0.0%        
 164,500  m  Datasonic Group BHD   0 
 87,967     Samart Corp PCL   1 
       TOTAL SOFTWARE & SERVICES   1 
             
TRANSPORTATION - 0.0%      
 685,198  e,m  Ezion Holdings Ltd   0 
       TOTAL TRANSPORTATION   0 
             
       TOTAL RIGHTS / WARRANTS   1,337 
       (Cost $1,219)     
             
              MATURITY       
PRINCIPAL      ISSUER  RATE  DATE       
                     
SHORT-TERM INVESTMENTS - 2.3%
 
TREASURY DEBT - 0.7%
$37,000,000      United States Treasury Bill   1.742%  07/05/18   36,995  
 50,000,000      United States Treasury Bill   1.745   07/12/18   49,977  
 47,700,000      United States Treasury Bill   1.786   07/19/18   47,661  
 50,000,000      United States Treasury Bill   1.795   07/26/18   49,942  
 125,180,000      United States Treasury Bill   1.828   08/02/18   124,989  
 113,930,000      United States Treasury Bill   1.832   08/09/18   113,710  
 398,160,000      United States Treasury Bill   1.815   08/16/18   397,253  
        TOTAL TREASURY DEBT                820,527  
187

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

PRINCIPAL      ISSUER    RATE  MATURITY
DATE
 VALUE
(000)
 
 
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 1.6%
GOVERNMENT AGENCY DEBT - 0.1%
 110,000,000      Federal Home Loan Bank (FHLB)    0.010%  07/02/18 $109,995  
        TOTAL GOVERNMENT AGENCY DEBT                 109,995  
                        
REPURCHASE AGREEMENT - 1.5%
 52,200,000   o  Barclays    2.100   07/02/18  52,200  
 50,000,000   p  Calyon    1.950   07/02/18  50,000  
 82,000,000   q  Calyon    2.100   07/02/18  82,000  
 100,000,000   r  Citigroup    2.110   07/02/18  100,000  
 80,000,000   s  Citigroup    1.990   07/06/18  80,000  
 231,000,000   t  HSBC    2.100   07/02/18  231,000  
 16,000,000   u  JP Morgan    2.100   07/02/18  16,000  
 111,000,000   v  JP Morgan    2.110   07/02/18  111,000  
 55,628,000   w  Merrill Lynch    2.100   07/02/18  55,628  
 150,000,000   x  NatWest Markets    2.100   07/02/18  150,000  
 595,000,000   y  NatWest Markets    1.930   07/05/18  595,000  
 230,000,000   z  Nomura    2.120   07/02/18  230,000  
 128,000,000   aa  Societe Generale    2.100   07/02/18  128,000  
        TOTAL REPURCHASE AGREEMENT                 1,880,828  
                        
VARIABLE RATE SECURITIES - 0.0%                  
 29,143,717   i  SLM Student Loan Trust    2.400   01/25/19  29,144  
        TOTAL VARIABLE RATE SECURITIES                 29,144  
                        
        TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED   2,019,967  
                        
        TOTAL SHORT-TERM INVESTMENTS       2,840,494  
        (Cost $2,840,450)               
        TOTAL INVESTMENTS - 101.6%              124,430,305  
        (Cost $109,987,506)                  
        OTHER ASSETS & LIABILITIES, NET - (1.6)%         (2,015,225 )
        NET ASSETS - 100.0%          $122,415,080  
       
       
    Abbreviation(s):
    ADR American Depositary Receipt
    CVR Contingent Value Right
    ETF Exchange Traded Fund
    GDR Global Depositary Receipt
    NVDR Non Voting Depository Receipt
    OTC Over The Counter
    REIT Real Estate Investment Trust
    SPDR Standard & Poor’s Depository Receipts

 

^   Amount represents less than $1,000.
*   Non-income producing
188

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

  Security is categorized as Level 3 in the fair value hierarchy.
a   Affiliated holding
b   In bankruptcy
d   All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $2,288,975,000.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/18, the aggregate value of these securities was $695,132,000 or 0.6% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
j   Zero coupon
m   Indicates a security that has been deemed illiquid.
n   All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts.
o   Agreement with Barclays, 2.10% dated 6/29/18 to be repurchased at $52,200,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $53,244,000.
p   Agreement with Calyon, 1.95% dated 6/29/18 to be repurchased at $50,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $51,000,000.
q   Agreement with Calyon, 2.10% dated 6/29/18 to be repurchased at $82,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $83,640,000.
r   Agreement with Citigroup, 2.11% dated 6/29/18 to be repurchased at $100,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $102,000,000.
s   Agreement with Citigroup, 1.99% dated 6/29/18 to be repurchased at $80,000,000 on 7/06/18, collateralized by U.S. Government Agency Securities valued at $81,600,000.
t   Agreement with HSBC, 2.10% dated 6/29/18 to be repurchased at $231,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $235,624,000.
u   Agreement with JP Morgan, 2.10% dated 6/29/18 to be repurchased at $16,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $16,324,000.
v   Agreement with JP Morgan, 2.11% dated 6/29/18 to be repurchased at $111,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $113,220,000.
w   Agreement with Merrill Lynch, 2.10% dated 6/29/18 to be repurchased at $55,628,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $56,741,000.
x   Agreement with NatWest Markets, 2.10% dated 6/29/18 to be repurchased at $150,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $153,003,000.
y   Agreement with NatWest Markets, 1.93% dated 6/28/18 to be repurchased at $595,000,000 on 7/05/18, collateralized by U.S. Government Agency Securities valued at $606,902,000.
z   Agreement with Nomura, 2.12% dated 6/29/18 to be repurchased at $230,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $234,600,000.
aa   Agreement with Societe Generale, 2.10% dated 6/29/18 to be repurchased at $128,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $130,560,000.
     
    Cost amounts are in thousands.
       
       

Futures contracts outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (see Note 3):

 

Description  Number of
long (short)
contracts
   Expiration date  Notional amount    Value    Unrealized
appreciation (depreciation)
 
Russell 2000 E Mini Index   160   9/21/18  $13,545   $13,180   $(365)
S&P 500 E Mini Index   1,023   9/21/18   141,338    139,210    (2,128)
S&P Mid-Cap 400 E Mini Index   88   9/21/18   17,594    17,214    (380)
Total   1,271      $172,477   $169,604   $(2,873)
189

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

Purchased options outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (see Note 3):

 

Description/underlying investment  Number of contracts    Notional amount    Exercise price  Expiration date  Value  
Apple, Inc, Call   25   $28   $190.00    1/18/19  $27 
Broadcom Ltd, Call   20    43    280.00   1/18/19   16 
Chicago Board Options Exchange SPX Volatility Index, Call   12    3    18.00   9/19/18   3 
Chicago Board Options Exchange SPX Volatility Index, Call   10    1    21.00   9/19/18   2 
Citigroup, Inc, Call   20    12    80.00   1/18/19   2 
Coca-Cola Co, Call   30    3    44.00   1/18/19   6 
Goldman Sachs Group, Inc, Put   25    10    210.00   9/21/18   11 
Kraft Heinz Co, Call   24    6    62.50   1/18/19   10 
McDonald’s Corp, Put   30    8    152.50   8/3/18   8 
Microsoft Corp, Call   30    9    105.00   10/19/18   7 
Microsoft Corp, Call   20    12    100.00   1/18/19   12 
QUALCOMM, Inc, Call   9,440    1,289    60.00   7/20/18   425 
QUALCOMM, Inc, Call   20    6    60.00   9/21/18   4 
QUALCOMM, Inc, Put   30    13    50.00   1/18/19   7 
salesforce.com, Inc, Call   20    26    120.00   1/18/19   46 
Tesla, Inc, Call   10    32    300.00   1/18/19   77 
Tronox Ltd, Call   30    9    23.00   8/17/18   2 
Total   9,796   $1,510           $665 

 

Written options outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (see Note 3):

                                     

Description/underlying investment  Number of contracts   Notional amount   Exercise price Expiration date  Value 
American Express Co, Call   30   $(1)  $  105.00    6/29/18  $(0)^
Apple, Inc, Call   50    (28)   210.00   1/18/19   (21)
Bristol-Myers Squibb Co, Put   40    (12)   55.00   9/21/18   (9)
Broadcom Ltd, Call   20    (19)   320.00   1/18/19   (4)
Broadcom Ltd, Put   20    (23)   220.00   1/18/19   (22)
Chicago Board Options Exchange SPX Volatility Index, Call   5    (1)   16.00   9/19/18   (1)
Chicago Board Options Exchange SPX Volatility Index, Call   22    (1)   30.00   9/19/18   (2)
Chicago Board Options Exchange SPX Volatility Index, Put   15    (1)   13.00   9/19/18   (1)
Chipotle Mexican Grill, Inc, Call   5    (1)   530.00   7/6/18   (0)^
Citigroup, Inc, Call   60    (11)   95.00   1/18/19   (1)
Citigroup, Inc, Put   30    (6)   55.00   1/18/19   (3)
Coca-Cola Co, Call   30    (1)   49.00   1/18/19   (1)
Coca-Cola Co, Put   30    (3)   38.00   1/18/19   (1)
ConAgra Brands, Inc, Put   50    (1)   33.00   8/17/18   (1)
Foot Locker, Inc, Call   30    (1)   65.00   7/20/18   (0)^
Foot Locker, Inc, Put   30    (1)   50.00   7/20/18   (3)
General Electric Co, Put   50    (4)   13.00   12/21/18   (4)
Goldman Sachs Group, Inc, Call   25    (2)   275.00   9/21/18   (1)
Goldman Sachs Group, Inc, Put   50    (9)   195.00   9/21/18   (10)
Kraft Heinz Co, Call   24    (2)   70.00   1/18/19   (3)
Kraft Heinz Co, Put   30    (4)   50.00   1/18/19   (2)
McDonald’s Corp, Call   30    (2)   170.00   8/3/18   (3)
McDonald’s Corp, Put   30    (6)   150.00   8/3/18   (6)
Micron Technology, Inc, Put   40    (1)   49.50   7/6/18   (1)
190

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

Description/underlying investment  Number of contracts   Notional amount   Exercise price Expiration date  Value 
Microsoft Corp, Call   30   $(4)  $110.00   10/19/18  $(4)
Microsoft Corp, Call   30    (2)   115.00   10/19/18   (2)
Microsoft Corp, Call   40    (8)   115.00   1/18/19   (6)
Microsoft Corp, Put   4,000    (115)   90.00   6/29/18   (16)
Microsoft Corp, Put   4,500    (164)   91.00   6/29/18   (9)
Microsoft Corp, Put   4,000    (175)   92.00   6/29/18   (8)
Microsoft Corp, Put   500    (27)   93.00   6/29/18   (2)
Microsoft Corp, Put   30    (1)   87.50   7/20/18   (1)
Microsoft Corp, Put   30    (3)   85.00   10/19/18   (3)
Microsoft Corp, Put   20    (3)   70.00   1/18/19   (1)
NetFlix, Inc, Call   10    (1)   450.00   7/6/18   (0)^
NetFlix, Inc, Put   5    (0)^   330.00   7/6/18   (0)^
Penn National Gaming, Inc, Put   500    (31)   30.00   8/17/18   (32)
Philip Morris International, Inc, Put   20    (9)   85.00   9/21/18   (12)
Pinnacle Foods, Inc, Call   20    (1)   80.00   9/21/18   (0)^
Procter & Gamble Co, Put   30    (1)   67.50   7/20/18   (0)^
QUALCOMM, Inc, Call   9,440    (334)   65.00   7/20/18   (94)
QUALCOMM, Inc, Call   20    (2)   65.00   9/21/18   (2)
QUALCOMM, Inc, Put   9,470    (572)   50.00   7/20/18   (256)
QUALCOMM, Inc, Put   30    (2)   50.00   9/21/18   (4)
QUALCOMM, Inc, Put   30    (4)   40.00   1/18/19   (2)
QUALCOMM, Inc, Put   30    (8)   45.00   1/18/19   (4)
Red Hat, Inc, Call   20    (1)   200.00   7/20/18   (0)^
Red Hat, Inc, Put   150    (92)   140.00   9/21/18   (154)
S&P 500 Index, Put   50    (334)   2,350.00   9/21/18   (50)
salesforce.com, Inc, Call   20    (13)   135.00   1/18/19   (26)
salesforce.com, Inc, Call   20    (8)   145.00   1/18/19   (17)
salesforce.com, Inc, Put   20    (7)   95.00   1/18/19   (2)
Tesla, Inc, Call   20    (34)   360.00   1/18/19   (94)
Tronox Ltd, Call   30    (4)   33.00   8/17/18   (0)^
Tronox Ltd, Put   30    (5)   15.00   8/17/18   (1)
Walmart, Inc, Put   40    (2)   70.00   7/20/18   (0)^
Wynn Resorts Ltd, Put   20    (3)   160.00   7/20/18   (4)
Wynn Resorts Ltd, Put   200    (92)   155.00   8/17/18   (83)
Total   34,151   $(2,203)          $(989)
  Amount represents less than $1,000.

191

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

Forward foreign currency contracts outstanding as of June 30, 2018 were as follows (dollar amounts are in thousands) (see Note 3):

 

Currency to be
purchased
  Receive  Currency to be sold  Deliver  Counterparty  Settlement date  Unrealized
appreciation
(depreciation)
 
$  8,996  CAD  11,600  Bank of America  7/3/2018  $172 
$  13,103  GBP  9,300  Bank of America  7/3/2018   828 
$  3,962  GBP  3,000  Bank of America  10/2/2018   (14)
AUD  3,250  $  2,488  Bank of America  7/3/2018   (82)
CHF  3,100  $  3,271  Bank of America  7/3/2018   (140)
Total                  $764 
$  3,036  CAD  4,000  Morgan Stanley  10/2/2018  $(11)
HKD  31,000  $  3,961  Morgan Stanley  7/3/2018   (10)
EUR  4,900  $  6,070  Morgan Stanley  7/3/2018   (347)
EUR  6,000  $  7,032  Morgan Stanley  10/2/2018   24 
Total                  $(344)
Total                 $420 

 

Abbreviation(s): 
AUD Australian Dollar
CAD Canadian Dollar
CHF Swiss Franc
EUR Euro
GBP Pound Sterling
HKD Hong Kong Dollar
192

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

COLLEGE RETIREMENT EQUITIES FUND

STOCK ACCOUNT

SUMMARY OF MARKET VALUES BY COUNTRY (unaudited)

June 30, 2018

 

Country  Value
(000)
   % of total
portfolio
 
DOMESTIC      
       
UNITED STATES  $87,182,820    70.1%
TOTAL DOMESTIC   87,182,820    70.1 
FOREIGN          
           
ARGENTINA   16,936    0.0 
AUSTRALIA   1,614,128    1.3 
AUSTRIA   221,009    0.2 
BELGIUM   143,885    0.1 
BERMUDA   88,166    0.1 
BRAZIL   570,826    0.5 
CANADA   2,444,337    2.0 
CAYMAN ISLANDS   740    0.0 
CHILE   109,126    0.1 
CHINA   2,929,735    2.4 
COLOMBIA   42,595    0.0 
COTE D’IVOIRE   791    0.0 
CYPRUS   2,506    0.0 
CZECH REPUBLIC   22,003    0.0 
DENMARK   442,967    0.4 
EGYPT   16,586    0.0 
FAROE ISLANDS   6,618    0.0 
FINLAND   358,163    0.3 
FRANCE   2,558,253    2.1 
GEORGIA   3,282    0.0 
GERMANY   2,491,938    2.0 
GHANA   7,637    0.0 
GREECE   29,324    0.0 
GUERNSEY, C.I.   664    0.0 
HONG KONG   892,345    0.7 
HUNGARY   29,782    0.0 
INDIA   912,855    0.7 
INDONESIA   165,577    0.1 
IRELAND   359,194    0.3 
ISRAEL   258,521    0.2 
ITALY   735,204    0.6 
JAPAN   6,192,063    5.0 
JERSEY, C.I.   8,009    0.0 
JORDAN   1,669    0.0 
KAZAKHSTAN   9,106    0.0 
KOREA, REPUBLIC OF   1,359,907    1.1 
LUXEMBOURG   67,035    0.0 
MACAU   27,080    0.0 
MALAYSIA   216,782    0.2 
MALTA   9,224    0.0 
MEXICO   238,955    0.2 
MONACO   2,413    0.0 
MONGOLIA   1,752    0.0 
MYANMAR   223    0.0 
193

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

Country  Value
(000)
   % of total
portfolio
 
NETHERLANDS  $1,542,360    1.2%
NEW ZEALAND   72,004    0.1 
NORWAY   242,721    0.2 
PAKISTAN   7,474    0.0 
PANAMA   16,471    0.0 
PERU   37,384    0.0 
PHILIPPINES   88,924    0.1 
POLAND   82,271    0.1 
PORTUGAL   53,364    0.0 
PUERTO RICO   46,185    0.0 
QATAR   49,884    0.0 
ROMANIA   4,107    0.0 
RUSSIA   260,696    0.2 
SINGAPORE   258,372    0.2 
SOUTH AFRICA   581,242    0.5 
SPAIN   623,162    0.5 
SRI LANKA   4,601    0.0 
SWEDEN   446,493    0.4 
SWITZERLAND   1,723,656    1.4 
TAIWAN   1,130,262    0.9 
TANZANIA, UNITED REPUBLIC OF   136    0.0 
THAILAND   187,392    0.1 
TURKEY   96,626    0.1 
UNITED ARAB EMIRATES   74,641    0.1 
UNITED KINGDOM   3,941,536    3.2 
URUGUAY   40,217    0.0 
ZAMBIA   25,393    0.0 
TOTAL FOREIGN   37,247,485    29.9 
           
TOTAL PORTFOLIO  $124,430,305    100.0%
194

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

COLLEGE RETIREMENT EQUITIES FUND

 GLOBAL EQUITIES ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2018

 

SHARES     COMPANY  VALUE
(000)
 
            
COMMON STOCKS - 98.3%
               
ARGENTINA - 0.1%
 370,936     Grupo Financiero Galicia S.A. (ADR) (Class B)  $12,233 
 435,300     Grupo Supervielle S.A. (ADR)   4,606 
 824     Mercadolibre, Inc   246 
       TOTAL ARGENTINA   17,085 
               
AUSTRALIA - 1.4%
 1,234,300  *,e  Afterpay Touch Group Ltd   8,554 
 72,920     AGL Energy Ltd   1,213 
 109,601     Alumina Ltd   227 
 376,358     Amcor Ltd   4,010 
 378,742     AMP Ltd   996 
 146,065     APA Group (ASE)   1,064 
 24,876     Aristocrat Leisure Ltd   568 
 80,533     AusNet Services   96 
 1,609,562     Australia & New Zealand Banking Group Ltd   33,687 
 39,578     Australian Stock Exchange Ltd   1,887 
 681,005  *,m  AZ BGP Holdings   17 
 17,527     Bank of Queensland Ltd   132 
 21,475  e  Bendigo Bank Ltd   172 
 2,808,659  e  BHP Billiton Ltd   70,278 
 1,086,828     BHP Billiton plc   24,391 
 781,242     BlueScope Steel Ltd   9,971 
 50,799     Boral Ltd   245 
 69,785     Brambles Ltd   458 
 11,586     Caltex Australia Ltd   279 
 86,013     Challenger Financial Services Group Ltd   753 
 4,060     CIMIC Group Ltd   127 
 23,389     Coca-Cola Amatil Ltd   159 
 16,294     Cochlear Ltd   2,412 
 75,774  e  Commonwealth Bank of Australia   4,087 
 20,416     Computershare Ltd   278 
 16,513     Crown Resorts Ltd   165 
 90,228     CSL Ltd   12,843 
 96,320     Dexus Property Group   692 
 2,394     Domino’s Pizza Enterprises Ltd   93 
 2,302  e  Flight Centre Travel Group Ltd   108 
 65,531  e  Fortescue Metals Group Ltd   213 
 148,947     GPT Group (ASE)   557 
 22,571  e  Harvey Norman Holdings Ltd   55 
 76,421     Healthscope Ltd   125 
 73,717     Incitec Pivot Ltd   198 
 312,258     Insurance Australia Group Ltd   1,970 
 66,231     Lend Lease Corp Ltd   970 
 187,787     Macquarie Goodman Group   1,339 
 25,717     Macquarie Group Ltd   2,344 
195

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 118,904     Medibank Pvt Ltd  $257 
 586,664     Mineral Resources Ltd   6,946 
 308,109     Mirvac Group   495 
 316,000  *  MMG Ltd   220 
 116,834     National Australia Bank Ltd   2,372 
 32,526     Newcrest Mining Ltd   528 
 57,368     Oil Search Ltd   377 
 5,798  *  OneMarket Ltd   6 
 16,713     Orica Ltd   219 
 76,002  *  Origin Energy Ltd   564 
 1,135,480     Oxiana Ltd   7,918 
 4,170     Perpetual Trustees Australia Ltd   128 
 92,965     Qantas Airways Ltd   423 
 161,301     QBE Insurance Group Ltd   1,161 
 84,395     QR National Ltd   270 
 10,869     Ramsay Health Care Ltd   434 
 2,325     REA Group Ltd   156 
 276,608     Rio Tinto Ltd   17,090 
 573,772     Rio Tinto plc   31,625 
 77,363  *  Santos Ltd   358 
 1,550,208     Scentre Group   5,037 
 14,413     Seek Ltd   232 
 62,138     Sonic Healthcare Ltd   1,127 
 4,007,274     South32 Ltd   10,701 
 336,983     Stockland Trust Group   990 
 156,072     Suncorp-Metway Ltd   1,683 
 48,720  e  Sydney Airport   258 
 80,498     Tabcorp Holdings Ltd   265 
 543,503     Telstra Corp Ltd   1,051 
 16,482  e  TPG Telecom Ltd   63 
 96,024     Transurban Group (ASE)   850 
 30,071     Treasury Wine Estates Ltd   386 
 249,759     Vicinity Centres   479 
 201,772  *  Virgin Australia Holdings Ltd   33 
 48,970     Wesfarmers Ltd   1,787 
 146,579     Westpac Banking Corp   3,183 
 257,591  e  Woodside Petroleum Ltd   6,751 
 55,608     Woolworths Ltd   1,256 
       TOTAL AUSTRALIA   295,412 
               
AUSTRIA - 0.1%
 157,300  e  ams AG.   11,666 
 3,167     Andritz AG.   168 
 199,934     Erste Bank der Oesterreichischen Sparkassen AG.   8,335 
 6,510     OMV AG.   368 
 6,338  *  Raiffeisen International Bank Holding AG.   194 
 5,009     Voestalpine AG.   230 
 150,147     Wienerberger AG.   3,745 
       TOTAL AUSTRIA   24,706 
               
BELGIUM - 0.1%
 8,186     Ageas   412 
 72,549     Anheuser-Busch InBev S.A.   7,318 
196

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 2,899     Befimmo SCA Sicafi  $179 
 2,319     Cofinimmo   286 
 2,371     Colruyt S.A.   135 
 3,519     Groupe Bruxelles Lambert S.A.   370 
 10,789     KBC Groep NV   829 
 6,554     Proximus plc   147 
 3,269     Solvay S.A.   412 
 2,265  *  Telenet Group Holding NV   105 
 5,292     UCB S.A.   415 
 8,965     Umicore S.A.   512 
 1,197     Warehouses De Pauw SCA   151 
       TOTAL BELGIUM   11,271 
               
BERMUDA - 0.0%
 756     RenaissanceRe Holdings Ltd   91 
 155,247  *  Third Point Reinsurance Ltd   1,941 
 5,281     XL Group Ltd   295 
       TOTAL BERMUDA   2,327 
               
BRAZIL - 1.0%
 802,300     AMBEV S.A.   3,722 
 57,600     Atacadao Distribuicao Comercio e Industria Ltd   225 
 3,029,100  *  B2W Companhia Global Do Varejo   21,024 
 349,600     B3 S.A.-Brasil Bolsa Balcao   1,845 
 161,300  *  Banco Bradesco S.A.   1,015 
 569,600  *  Banco Bradesco S.A. (Preference)   3,953 
 2,961,596     Banco do Brasil S.A.   21,892 
 1,438,466  *  Banco Itau Holding Financeira S.A.   14,972 
 1,332,200     Banco Santander Brasil S.A.   10,071 
 113,400     BB Seguridade Participacoes S.A.   716 
 127,500     BR Malls Participacoes S.A.   319 
 24,100     Braskem S.A.   316 
 76,500  *  BRF S.A.   355 
 29,500  *  Centrais Eletricas Brasileiras S.A.   93 
 31,600     Centrais Eletricas Brasileiras S.A. (Preference)   110 
 2,654,100     Cia Brasileira de Distribuicao Grupo Pao de Acucar   53,339 
 185,100     Cia de Concessoes Rodoviarias   483 
 46,200     Cia de Saneamento Basico do Estado de Sao Paulo   278 
 123,800     Cia Energetica de Minas Gerais   233 
 71,000  *  Cia Siderurgica Nacional S.A.   144 
 202,600     Cielo S.A.   864 
 38,200     Cosan SA Industria e Comercio   347 
 42,900     EDP - Energias do Brasil S.A.   154 
 108,600     Empresa Brasileira de Aeronautica S.A.   680 
 22,700     Engie Brasil Energia S.A.   200 
 30,000     Equatorial Energia S.A.   440 
 41,600     Fibria Celulose S.A.   779 
 174,400     Gerdau S.A. (Preference)   626 
 48,700     Hypermarcas S.A.   347 
 750,840  *  Investimentos Itau S.A. - PR   1,778 
 14,600     IRB Brasil Resseguros S   182 
 133,600     JBS S.A.   321 
 112,300     Klabin S.A.   568 
197

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 218,400     Kroton Educacional S.A.  $525 
 1,919,800     Localiza Rent A Car   11,754 
 111,500     Lojas Americanas S.A.(Preference)   480 
 116,700     Lojas Renner S.A.   884 
 11,900     M Dias Branco S.A.   115 
 10,500     Magazine Luiza S.A.   347 
 12,900     Multiplan Empreendimentos Imobiliarios S.A.   190 
 24,100     Natura Cosmeticos S.A.   188 
 31,400     Odontoprev S.A.   106 
 419,348  *  Pagseguro Digital Ltd   11,637 
 45,300  *  Petrobras Distribuidora S.A.   214 
 531,100     Petroleo Brasileiro S.A.   2,661 
 700,800     Petroleo Brasileiro S.A. (Preference)   3,108 
 11,400     Porto Seguro S.A.   120 
 38,900     Raia Drogasil S.A.   666 
 174,400  *  Rumo S.A.   634 
 24,700     Sul America SA   116 
 74,500     Suzano Papel e Celulose S.A.   864 
 72,200  *  Telefonica Brasil S.A.   852 
 113,300     Tim Participacoes S.A.   385 
 75,600     Ultrapar Participacoes S.A.   896 
 538,100     Vale S.A.   6,885 
 4,900,095     Via Varejo S.A.   23,529 
 117,860     Weg S.A.   494 
       TOTAL BRAZIL   210,041 
  
 CANADA - 2.6%
 29,239     Agnico-Eagle Mines Ltd   1,340 
 564,734     Alimentation Couche Tard, Inc   24,533 
 7,373  e  AltaGas Income Trust   152 
 15,401     ARC Resources Ltd   159 
 3,218     Atco Ltd   99 
 321,191     Bank of Montreal   24,828 
 107,158     Bank of Nova Scotia   6,068 
 147,321     Barrick Gold Corp (Canada)   1,935 
 67,254     BCE, Inc   2,724 
 21,812  *  Blackberry Ltd (New)   210 
 11,596     Boardwalk REIT   403 
 88,277  *  Bombardier, Inc   349 
 59,425  e  Brookfield Asset Management, Inc   2,411 
 11,764     CAE, Inc   244 
 17,463     Cameco Corp (Toronto)   196 
 4,638     Canadian Apartment Properties REIT   150 
 33,916  e  Canadian Imperial Bank of Commerce   2,950 
 31,875     Canadian National Railway Co   2,607 
 866,823     Canadian Natural Resources Ltd (Canada)   31,287 
 183,067     Canadian Pacific Railway Ltd (Toronto)   33,549 
 93,598     Canadian Tire Corp Ltd   12,217 
 5,662     Canadian Utilities Ltd   143 
 6,367     CCL Industries   312 
 2,000,075     Cenovus Energy, Inc (Toronto)   20,767 
 10,727  *  CGI Group, Inc   680 
 6,077     Choice Properties REIT   56 
198

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 11,386     CI Financial Corp  $205 
 841     Constellation Software, Inc   652 
 23,542  e  Crescent Point Energy Corp   173 
 283,009  *  Descartes Systems Group, Inc   9,220 
 918,090     Dollarama, Inc   35,588 
 2,384     Emera, Inc   78 
 7,643     Empire Co Ltd   153 
 72,531     Enbridge, Inc (Toronto)   2,593 
 41,251     EnCana Corp   539 
 22,896     Fairfax Financial Holdings Ltd   12,830 
 7,283     Finning International, Inc   180 
 11,083     First Capital Realty, Inc   174 
 18,097     Fortis, Inc   578 
 7,881     Franco-Nevada Corp   575 
 2,252  e  George Weston Ltd   184 
 9,094     Gildan Activewear, Inc   256 
 109,782     Goldcorp, Inc   1,507 
 13,042     Great-West Lifeco, Inc   321 
 22,915     H&R Real Estate Investment Trust   351 
 15,385     Husky Energy, Inc   240 
 13,744  g  Hydro One Ltd   210 
 3,263  e  IGM Financial, Inc   95 
 12,314     Imperial Oil Ltd   409 
 4,362     Industrial Alliance Insurance and Financial Services, Inc   168 
 61,730     Intact Financial Corp   4,379 
 15,917     Inter Pipeline Ltd   298 
 8,324  e  Keyera Corp   232 
 65,000  *  Kinaxis, Inc   4,376 
 631,376  *  Kinross Gold Corp   2,377 
 2,100     Linamar Corp   92 
 8,391     Loblaw Cos Ltd   432 
 14,757     Magna International, Inc   858 
 474,795     Manulife Financial Corp (Toronto)   8,531 
 1,849,982  *  MEG Energy Corp   15,423 
 162,098     Methanex Corp   11,462 
 10,198     Metro, Inc   347 
 14,796  e  National Bank of Canada   710 
 147,663     Nutrien Ltd (Toronto)   8,033 
 3,777     Onex Corp   277 
 10,922  e  Open Text Corp   384 
 21,666     Pembina Pipeline Income Fund   750 
 657,522     Power Corp Of Canada   14,724 
 32,058     Power Financial Corp   750 
 9,272  e  PrairieSky Royalty Ltd   183 
 220,617     Recipe Unlimited Corp   4,778 
 202,935     Restaurant Brands International, Inc   12,237 
 9,894     Restaurant Brands International, Inc (Toronto)   597 
 53,127     RioCan Real Estate Investment Trust   976 
 77,442     Rogers Communications, Inc (Class B)   3,678 
 360,417     Royal Bank of Canada   27,139 
 9,713     Saputo, Inc   323 
 10,344  *  Seven Generations Energy Ltd   114 
 19,081  *  Shaw Communications, Inc (B Shares)   389 
199

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 116,358  *  Shopify, Inc (Class A) (Toronto)  $16,968 
 14,619     Smart Real Estate Investment Trust   340 
 7,480  e  SNC-Lavalin Group, Inc   330 
 365,626  *,g  Spin Master Corp   16,211 
 61,955     Sun Life Financial, Inc   2,490 
 1,539,896     Suncor Energy, Inc   62,666 
 22,611     Teck Cominco Ltd   576 
 8,613     TELUS Corp   306 
 12,602     Thomson Corp (Toronto)   509 
 732,299     Toronto-Dominion Bank   42,384 
 10,168  e  Tourmaline Oil Corp   182 
 265,874  e  TransCanada Corp   11,503 
 5,676  e  Vermilion Energy, Inc   205 
 156,430  e  West Fraser Timber Co Ltd   10,767 
 19,176     Wheaton Precious Metals Corp   423 
 4,444  e  WSP Global, Inc   234 
       TOTAL CANADA   528,591 
               
CHILE - 0.1%
 43,652     AES Gener S.A.   11 
 433,090     Aguas Andinas S.A.   236 
 153,555     Antofagasta plc   1,995 
 3,814,972     Banco de Chile   588 
 6,204     Banco de Credito e Inversiones   413 
 10,799,754     Banco Santander Chile S.A.   847 
 241,438     Centros Comerciales Sudamericanos S.A.   595 
 24,426     Cia Cervecerias Unidas S.A.   306 
 1,298,259     Colbun S.A.   268 
 17,067,424     Corpbanca S.A.   167 
 45,404     Embotelladora Andina S.A.   176 
 22,098     Empresa Nacional de Telecomunicaciones S.A.   205 
 206,217     Empresas CMPC S.A.   759 
 77,097     Empresas COPEC S.A.   1,185 
 4,863,705     Enersis Chile S.A.   480 
 4,948,765     Enersis S.A.   869 
 48,898     Lan Airlines S.A.   485 
 28,086     Lundin Mining Corp   156 
 127,463     SACI Falabella   1,169 
 20,302     Sociedad Quimica y Minera de Chile S.A. (Class B)   977 
       TOTAL CHILE   11,887 
               
CHINA - 3.9%
 189,000  *,g  3SBio, Inc   427 
 3,700  *  51job, Inc (ADR)   361 
 15,400  *  58.COM, Inc (ADR)   1,068 
 124,000     AAC Technologies Holdings, Inc   1,741 
 234,000     Agile Property Holdings Ltd   398 
 5,111,000     Agricultural Bank of China   2,385 
 266,000     Air China Ltd   256 
 14,000  *  Air China Ltd   19 
 751,546  *  Alibaba Group Holding Ltd (ADR)   139,434 
 546,000  *,e  Alibaba Health Information Technology Ltd   525 
 608,000  *,e  Aluminum Corp of China Ltd   266 
200

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 186,000     Angang New Steel Co Ltd  $167 
 43,000     Angang Steel Co Ltd   36 
 2,297,000     Anhui Conch Cement Co Ltd   13,100 
 9,800     Anhui Conch Cement Co Ltd (Class A)   49 
 184,000     Anta Sports Products Ltd   970 
 19,600     Anxin Trust Co Ltd   21 
 9,700     Autohome, Inc (ADR)   980 
 394,000     AviChina Industry & Technology Co   234 
 254,500  g  BAIC Motor Corp Ltd   242 
 67,670  *  Baidu, Inc (ADR)   16,444 
 19,193,000     Bank of China Ltd   9,518 
 1,559,000     Bank of Communications Co Ltd   1,193 
 50,100  *  Bank of Communications Co Ltd   43 
 33,000  *  Bank of Jiangsu Co Ltd   32 
 22,700     Bank of Nanjing Co Ltd   26 
 21,100     Bank of Shanghai Co Ltd   50 
 55,600     Baoshan Iron & Steel Co Ltd   65 
 36,800  *  BBMG Corp   18 
 371,000     BBMG Corp   136 
 286,000     Beijing Capital International Airport Co Ltd   300 
 82,000     Beijing Enterprises Holdings Ltd   398 
 900,000  e  Beijing Enterprises Water Group Ltd   489 
 520,000     Brilliance China Automotive Holdings Ltd   933 
 100,500  e  Byd Co Ltd   620 
 2,700     BYD Co Ltd   19 
 108,000  e  BYD Electronic International Co Ltd   147 
 119,000  *  CAR, Inc   119 
 1,882,000  g  CGN Power Co Ltd   486 
 209,000     China Agri-Industries Holdings Ltd   80 
 9,579,000  *,†,e,m  China Animal Healthcare Ltd   12 
 1,325,000     China Cinda Asset Management Co Ltd   424 
 1,576,000     China Citic Bank   984 
 613,000     China Coal Energy Co   253 
 793,000     China Communications Construction Co Ltd   764 
 404,000     China Communications Services Corp Ltd   255 
 282,500     China Conch Venture Holdings Ltd   1,031 
 16,112,000     China Construction Bank   14,743 
 26,300  *  China Construction Bank Corp   26 
 361,500  *  China COSCO Holdings Co Ltd   165 
 28,200     China Eastern Airlines Corp Ltd   28 
 194,000     China Eastern Airlines Corp Ltd (H Shares)   131 
 457,000     China Everbright Bank Co Ltd   196 
 7,712,800     China Everbright International Ltd   9,933 
 166,000     China Everbright Ltd   304 
 460,000  *,e  China Evergrande Group   1,168 
 8,341     China Fortune Land Development Co Ltd   32 
 612,000  e  China Galaxy Securities Co Ltd   313 
 27,600     China Gezhouba Group Co Ltd   30 
 39,243     China Grand Automotive Services Co Ltd   35 
 1,448,000  g  China Huarong Asset Management Co Ltd   417 
 272,000     China Insurance International Holdings Co Ltd   846 
 170,400  e,g  China International Capital Corp Ltd   302 
 47,200     China International Marine Containers Group Co Ltd   62 
201

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 2,800     China International Travel Service Corp Ltd  $27 
 1,293,000     China Life Insurance Co Ltd   3,317 
 27,000  *,e,g  China Literature Ltd   253 
 500,000     China Longyuan Power Group Corp   402 
 213,000     China Medical System Holdings Ltd   424 
 470,000     China Mengniu Dairy Co Ltd   1,585 
 606,000     China Merchants Bank Co Ltd   2,229 
 16,900  *  China Merchants Bank Co Ltd (Class A)   67 
 222,000     China Merchants Holdings International Co Ltd   450 
 6,100     China Merchants Shekou Industrial Zone Holdings Co Ltd   18 
 1,141,400     China Minsheng Banking Corp Ltd   816 
 1,049,500     China Mobile Hong Kong Ltd   9,312 
 573,000  *,e  China Molybdenum Co Ltd   276 
 12,590,000     China National Building Material Co Ltd   12,392 
 255  *  China New Town Development Co Ltd    0^
 264,000     China Oilfield Services Ltd   249 
 1,768,200     China Overseas Land & Investment Ltd   5,804 
 4,900     China Pacific Insurance Group Co Ltd   23 
 456,000     China Pacific Insurance Group Co Ltd   1,757 
 605,000     China Power International Development Ltd   139 
 306,000     China Railway Construction Corp   310 
 26,813     China Railway Construction Corp Ltd   35 
 593,000     China Railway Group Ltd   447 
 248,000  e,g  China Railway Signal & Communication Corp Ltd   176 
 1,025,000     China Reinsurance Group Corp   224 
 256,000     China Resources Beer Holdings Company Ltd   1,240 
 148,000     China Resources Gas Group Ltd   640 
 1,129,836     China Resources Land Ltd   3,795 
 304,000  e,g  China Resources Pharmaceutical Group Ltd   420 
 322,000     China Resources Power Holdings Co   566 
 643,000     China Shenhua Energy Co Ltd   1,521 
 540,000  *,e  China Shipping Container Lines Co Ltd   90 
 232,000     China Shipping Development Co Ltd   112 
 30,900  *  China Southern Airlines Co Ltd   39 
 270,000     China Southern Airlines Co Ltd   212 
 88,620     China State Construction Engineering Corp Ltd   73 
 334,000     China State Construction International Holdings Ltd   342 
 2,492,000     China Telecom Corp Ltd   1,169 
 234,000     China Travel International Inv HK   91 
 1,072,000     China Unicom Ltd   1,336 
 2,492,000     China Vanke Co Ltd   8,691 
 13,600     China Vanke Co Ltd (Class A)   50 
 209,600  e  China Zhongwang Holdings Ltd   111 
 2,660,000  *,e  Chong Sing Holdings FinTech Gr   308 
 95,700  *  Chongqing Changan Automobile Co Ltd   97 
 408,000     Chongqing Rural Commercial Bank   242 
 504,000     CIFI Holdings Group Co Ltd   319 
 998,000     Citic Pacific Ltd   1,404 
 414,500     CITIC Securities Co Ltd   824 
 21,200     CITIC Securities Co Ltd (Class A)   53 
 9,742,000     CNOOC Ltd   16,693 
 304,000     COSCO Pacific Ltd   253 
202

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 6,277,000  e  Country Garden Holdings Co Ltd  $11,004 
 136,102  *  Country Garden Services Holdings Co Ltd   175 
 741,000     CRRC Corp Ltd   574 
 18,900     CRRC Corp Ltd (Class A)   22 
 800,000     CSPC Pharmaceutical Group Ltd   2,402 
 66,800  *  Ctrip.com International Ltd (ADR)   3,182 
 323,000  g  Dali Foods Group Co Ltd   249 
 72,700     Daqin Railway Co Ltd   90 
 434,000  *  Datang International Power Generation Co Ltd   132 
 442,000     Dongfeng Motor Group Co Ltd   466 
 131,000     ENN Energy Holdings Ltd   1,283 
 24,400  *,e  Fang Holdings Ltd (ADR)   95 
 8,100     Fangda Carbon New Material Co Ltd   30 
 311,000  *  Far East Horizon Ltd   301 
 436,000     Fosun International   817 
 776,000     Franshion Properties China Ltd   388 
 246,000     Future Land Development Holdin   222 
 86,000  g  Fuyao Glass Industry Group Co Ltd   291 
 386,700  *  GDS Holdings Ltd (ADR)   15,503 
 842,000     Geely Automobile Holdings Ltd   2,166 
 13,100  *  Gemdale Corp   20 
 112,000  *,e  Genscript Biotech Corp   306 
 261,800     GF Securities Co Ltd   380 
 19,700     GF Securities Co Ltd (Class A)   39 
 1,944,000  *,e  GOME Electrical Appliances Holdings Ltd   198 
 504,000  e  Great Wall Motor Co Ltd   384 
 4,300     Gree Electric Appliances, Inc of Zhuhai   31 
 65,800  *  Greenland Holdings Corp Ltd   65 
 112,500     Greentown China Holdings Ltd   150 
 540,000     Guangdong Investments Ltd   855 
 468,000     Guangzhou Automobile Group Co Ltd   455 
 4,869,000     Guangzhou R&F Properties Co Ltd   9,772 
 111,600  e,g  Guotai Junan Securities Co Ltd   237 
 8,300     Guotai Junan Securities Co Ltd   18 
 103,000     Haitian International Holdings Ltd   243 
 557,600     Haitong Securities Co Ltd   563 
 25,100     Haitong Securities Co Ltd (Class A)   36 
 127,500     Hengan International Group Co Ltd   1,223 
 3,024,000  *  HengTen Networks Group Ltd   107 
 86,400     Hesteel Co Ltd   38 
 306,000  e  Huadian Power International Co   121 
 682,000     Huaneng Power International, Inc   451 
 824,000     Huaneng Renewables Corp Ltd   273 
 277,800  g  Huatai Securities Co Ltd   441 
 10,200     Huatai Securities Co Ltd (Class A)   23 
 20,000     Huazhu Group Ltd (ADR)   840 
 3,400     Iflytek Co Ltd   16 
 11,954,000     Industrial & Commercial Bank of China   8,916 
 26,800     Industrial & Commercial Bank of China Ltd   21 
 36,800     Industrial Bank Co Ltd   80 
 5,300     Inner Mongolia Yili Industrial Group Co Ltd   22 
 261,300     Inner Mongolia Yitai Coal Co   355 
 121,400  *  JD.com, Inc (ADR)   4,729 
203

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 238,000     Jiangsu Express  $283 
 235,000     Jiangxi Copper Co Ltd   298 
 11,258     Jiangxi Copper Co Ltd (Class A)   27 
 3,700     Jiangxi Ganfeng Lithium Co Ltd   21 
 150,000  *,e  Jiayuan International Group Ltd   260 
 291,000  *  Kaisa Group Holdings Ltd   124 
 10,152,000  e  Kingdee International Software Group Co Ltd   10,340 
 127,000     Kingsoft Corp Ltd   383 
 1,200     Kweichow Moutai Co Ltd   132 
 174,000     KWG Property Holding Ltd   217 
 41,700  g  Legend Holdings Corp   127 
 1,150,000  e  Lenovo Group Ltd   619 
 192,000     Logan Property Holdings Co Ltd   259 
 247,000     Longfor Properties Co Ltd   664 
 8,900     Luxshare Precision Industry Co Ltd   30 
 8,715,000  e  Luye Pharma Group Ltd   8,905 
 78,312  *  Maanshan Iron & Steel Co Ltd   42 
 231,500  *,e,g  Meitu, Inc   201 
 456,000  *  Metallurgical Corp of China Ltd   134 
 35,900  *  Metallurgical Corp of China Ltd   18 
 6,000     Midea Group Co Ltd   47 
 32,000     Minth Group Ltd   135 
 198,400  *  Momo, Inc (ADR)   8,630 
 13,300     Netease.com (ADR)   3,361 
 132,500     New China Life insurance Co Ltd   549 
 24,100     New Oriental Education & Technology Group (ADR)   2,281 
 3,800  *,e  Noah Holdings Ltd (ADR)   198 
 1,197,000     People’s Insurance Co Group of China Ltd   560 
 1,200,000     PICC Property & Casualty Co Ltd   1,291 
 21,700     Ping An Bank Co Ltd   30 
 7,989,000     Ping An Insurance Group Co of China Ltd   73,161 
 9,600     Ping An Insurance Group Co of China Ltd (Class A)   85 
 24,900     Poly Real Estate Group Co Ltd   46 
 510,000  g  Postal Savings Bank of China Co Ltd   331 
 20,200     Power Construction Corp of China Ltd   16 
 8,200     Qingdao Haier Co Ltd   24 
 5,100  *  SAIC Motor Corp Ltd   27 
 443,000  *,e  Semiconductor Manufacturing International Corp   574 
 112,000     Shaanxi Coal Industry Co Ltd   139 
 15,000     Shandong Gold Mining Co Ltd   55 
 344,000     Shandong Weigao Group Medical Polymer Co Ltd   243 
 686,000  *,e  Shanghai Electric Group Co Ltd   231 
 77,000     Shanghai Fosun Pharmaceutical Group Co Ltd   421 
 82,000     Shanghai Industrial Holdings Ltd   191 
 216,091  *  Shanghai Lujiazui Finance & Trade Zone Development Co Ltd   309 
 150,900     Shanghai Pharmaceuticals Holding Co Ltd   415 
 45,200     Shanxi Lu’an Environmental Energy Development Co Ltd   63 
 64,600  *  Shanxi Xishan Coal & Electricity Power Co Ltd   73 
 129,500     Shenzhen International Holdings Ltd   267 
 362,000     Shenzhen Investment Ltd   132 
 36,300  *  Shenzhen Overseas Chinese Town Co Ltd   40 
204

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 130,000     Shenzhou International Group Holdings Ltd  $1,600 
 176,500     Shimao Property Holdings Ltd   460 
 496,500     Shui On Land Ltd   126 
 622,000  e  Sihuan Pharmaceutical Holdings   138 
 10,640  *  Sina Corp   901 
 449,500     Sino-Ocean Land Holdings Ltd   260 
 195,500     Sinopec Engineering Group Co Ltd   204 
 15,752,000     Sinopec Shanghai Petrochemical Co Ltd   9,576 
 214,400     Sinopharm Group Co   862 
 300,000     Sinotrans Ltd   158 
 84,000  *,e  Sinotruk Hong Kong Ltd   138 
 330,500     Soho China Ltd   157 
 402,000  e  Sunac China Holdings Ltd   1,398 
 16,200  *  Suning.com Co Ltd   34 
 1,657,700     Sunny Optical Technology Group Co Ltd   30,746 
 56,100  *  TAL Education Group (ADR)   2,064 
 19,000  *  TBEA Co Ltd   20 
 3,490,500  e  Tencent Holdings Ltd   175,277 
 338,000     Tingyi Cayman Islands Holding Corp   784 
 88,000     Tong Ren Tang Technologies Co Ltd   140 
 153,000     Travelsky Technology Ltd   444 
 62,000  e  Tsingtao Brewery Co Ltd   340 
 200,000     Uni-President China Holdings Ltd   257 
 72,500  *  Vipshop Holdings Ltd (ADR)   787 
 859,000     Want Want China Holdings Ltd   764 
 140,200  *,e  Weibo Corp (ADR)   12,444 
 304,000     Weichai Power Co Ltd   418 
 18,300     Weichai Power Co Ltd (Class A)   24 
 20,600     Western Securities Co Ltd   23 
 350,000     Winteam Pharmaceutical Group Ltd   302 
 3,600  *  Wuliangye Yibin Co Ltd   41 
 75,000  *,g  Wuxi Biologics Cayman, Inc   832 
 90,600  e  Xinjiang Goldwind Science & Technology Co Ltd   110 
 328,000  e  Xinyi Solar Holdings Ltd   100 
 2,460,000  g  Yangtze Optical Fibre and Cable Joint Stock Ltd   9,911 
 95,049     Yangzijiang Shipbuilding   63 
 322,000     Yanzhou Coal Mining Co Ltd   419 
 16,900     Yonghui Superstores Co Ltd   19 
 48,118,000     Yuexiul Property Co Ltd   9,162 
 1,346,633     Yum China Holdings, Inc   51,792 
 230,000     Yuzhou Properties Co   135 
 7,400  *  YY, Inc (ADR)   743 
 269,000  e  Zhaojin Mining Industry Co Ltd   206 
 272,000     Zhejiang Expressway Co Ltd   242 
 15,500     Zhejiang Longsheng Group Co Ltd   28 
 23,600  *,e,g  ZhongAn Online P&C Insurance Co Ltd   148 
 46,900     Zhongjin Gold Corp Ltd   49 
 77,000     Zhongsheng Group Holdings Ltd   231 
 90,700     Zhuzhou CSR Times Electric Co Ltd   430 
 1,064,000     Zijin Mining Group Co Ltd   408 
 141,300     Zijin Mining Group Co Ltd (Class A)   77 
 127,800  *  ZTE Corp   193 
       TOTAL CHINA   811,666 
205

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
COLOMBIA - 0.0%
 37,190     BanColombia S.A.  $448 
 77,807     BanColombia S.A. (Preference)   948 
 75,293     Cementos Argos S.A.   252 
 1,003,743     Ecopetrol S.A.   1,036 
 44,818     Grupo Argos S.A.   304 
 465,189  *  Grupo Aval Acciones y Valores   195 
 35,486     Grupo de Inversiones Suramericana S.A.   455 
 20,866     Grupo de Inversiones Suramericana S.A. (Preference)   255 
 57,584     Interconexion Electrica S.A.   285 
       TOTAL COLOMBIA   4,178 
               
CZECH REPUBLIC - 0.0%
 29,227     CEZ AS   692 
 12,747     Komercni Banka AS   535 
 1,383,236  g  Moneta Money Bank AS   4,746 
 5,970  *  Telefonica O2 Czech Republic AS   69 
       TOTAL CZECH REPUBLIC   6,042 
               
DENMARK - 0.9%
 165     AP Moller - Maersk AS (Class A)   195 
 274     AP Moller - Maersk AS (Class B)   339 
 4,503     Carlsberg AS (Class B)   530 
 4,023     Christian Hansen Holding   370 
 28,389     Coloplast AS   2,834 
 650,507     Danske Bank AS   20,266 
 160,860     Dfds A.S.   10,239 
 282,994     DSV AS   22,782 
 7,197  *  Genmab AS   1,107 
 49,692     GN Store Nord   2,258 
 2,979     H Lundbeck AS   209 
 6,927     ISS A.S.   237 
 1,832,307     Novo Nordisk AS   84,635 
 9,587     Novozymes AS   485 
 458,452  g  Orsted AS   27,700 
 4,656     Pandora AS   325 
 340,643     Sydbank AS   11,677 
 4,937     Tryg A.S.   116 
 8,987     Vestas Wind Systems AS   555 
 4,789  *,e  William Demant Holding A.S.   192 
       TOTAL DENMARK   187,051 
               
EGYPT - 0.0%
 180,345     Commercial International Bank   861 
 17,829     Eastern Tobacco   180 
 309,596  *  Orascom Telecom Holding SAE   81 
       TOTAL EGYPT   1,122 
               
FINLAND - 0.5%
 198,396     Amer Sports Oyj (A Shares)   6,238 
 46,387  e  Citycon Oyj   100 
 5,970     Elisa Oyj (Series A)   276 
206

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 232,421     Fortum Oyj  $5,536 
 14,551     Kone Oyj (Class B)   740 
 4,898     Metso Oyj   163 
 5,712     Neste Oil Oyj   447 
 959,949     Nokia Oyj (Turquoise)   5,506 
 67,408     Nokian Renkaat Oyj   2,654 
 4,223     Orion Oyj (Class B)   114 
 1,248,000     Outokumpu Oyj   7,730 
 718,814     Sampo Oyj (A Shares)   35,007 
 607,445     Stora Enso Oyj (R Shares)   11,834 
 17,395     Technopolis plc   78 
 410,065     UPM-Kymmene Oyj   14,600 
 567,740     Valmet Corp   10,913 
 18,679     Wartsila Oyj (B Shares)   366 
       TOTAL FINLAND   102,302 
               
FRANCE - 3.2%
 237,184     Accor S.A.   11,616 
 1,292     Aeroports de Paris   292 
 18,261     Air Liquide   2,289 
 214,199     Airbus SE   24,996 
 6,800     Alstom RGPT   312 
 2,587  g  Amundi S.A.   179 
 357,684     Arkema   42,207 
 4,047     Atos Origin S.A.   550 
 83,002     AXA S.A.   2,028 
 1,774  e  BioMerieux   159 
 134,252     BNP Paribas   8,304 
 38,026     Bollore   177 
 9,324     Bouygues S.A.   401 
 11,540     Bureau Veritas S.A.   308 
 76,743     Cap Gemini S.A.   10,284 
 25,259  e  Carrefour S.A.   407 
 2,463     Casino Guichard Perrachon S.A.   95 
 7,147     CNP Assurances   162 
 21,461     Compagnie de Saint-Gobain   956 
 2,084,949     Credit Agricole S.A.   27,673 
 538,752     Danone   39,336 
 104     Dassault Aviation S.A.   198 
 276,386     Dassault Systemes S.A.   38,678 
 9,275     Edenred   293 
 3,140     Eiffage S.A.   341 
 24,520     Electricite de France   336 
 27,415     Essilor International S.A.   3,865 
 1,991     Eurazeo   151 
 7,660     Eutelsat Communications   159 
 253,469     Faurecia   18,018 
 3,831     Fonciere Des Regions   398 
 235,601     Gaz de France   3,604 
 4,924  e  Gecina S.A.   823 
 19,598     Groupe Eurotunnel S.A.   269 
 1,346     Hermes International   822 
 6,104     Icade   572 
207

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 21,082  e  Iliad S.A.  $3,326 
 1,553     Imerys S.A.   125 
 2,557     Ingenico   229 
 13,207     Ipsen   2,066 
 3,112     JC Decaux S.A.   104 
 98,445     Kering   55,454 
 32,175     Klepierre   1,209 
 11,353     Legrand S.A.   832 
 198,351     L’Oreal S.A.   48,899 
 55,598     LVMH Moet Hennessy Louis Vuitton S.A.   18,460 
 34,161     Michelin (C.G.D.E.) (Class B)   4,133 
 38,134     Natixis   270 
 244,093     Orange S. A.   4,074 
 9,063  e  Pernod-Ricard S.A.   1,479 
 409,158     Peugeot S.A.   9,323 
 8,737  e  Publicis Groupe S.A.   600 
 15,970     Remy Cointreau S.A.   2,068 
 407,929  e  Renault S.A.   34,560 
 13,306     Rexel S.A.   191 
 125,208     Safran S.A.   15,163 
 89,833     Sanofi-Aventis   7,210 
 652,161     Schneider Electric S.A.   54,238 
 7,259     SCOR SE   268 
 967     SEB S.A.   169 
 1,154     Societe BIC S.A.   107 
 32,826     Societe Generale   1,380 
 3,887     Sodexho Alliance S.A.   388 
 48,598     Suez Environnement S.A.   629 
 309,895     Teleperformance   54,695 
 4,503     Thales S.A.   579 
 606,469     Total S.A.   36,828 
 105,601  *  Ubisoft Entertainment   11,543 
 10,952  *  Unibail-Rodamco-Westfield   2,412 
 12,673     Unibail-Rodamco-Westfield   2,790 
 263,800     Valeo S.A.   14,383 
 66,272     Veolia Environnement   1,416 
 229,744     Vinci S.A.   22,053 
 44,194     Vivendi Universal S.A.   1,081 
 1,220     Wendel   168 
       TOTAL FRANCE   656,160 
       
GERMANY - 2.3%
 46,116     Adidas-Salomon AG.   10,040 
 2,319  g  ADO Properties S.A.   126 
 185,206     Allianz AG.   38,163 
 197,306     Alstria Office REIT-AG.   2,964 
 1,951     Axel Springer AG.   141 
 86,721     BASF SE   8,279 
 247,580     Bayer AG.   27,190 
 14,220     Bayerische Motoren Werke AG.   1,285 
 2,287     Bayerische Motoren Werke AG. (Preference)   182 
 158,549     Beiersdorf AG.   17,971 
 1,194,461     Borussia Dortmund GmbH & Co KGaA   7,477 
208

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 6,727     Brenntag AG.  $374 
 44,447  *  Commerzbank AG.   424 
 26,758     Continental AG.   6,090 
 159,625  g  Covestro AG.   14,188 
 91,866     Daimler AG. (Registered)   5,885 
 3,951  *,g  Delivery Hero AG.   209 
 61,544     Deutsche Annington Immobilien SE   2,925 
 86,201     Deutsche Bank AG. (Registered)   922 
 8,194     Deutsche Boerse AG.   1,089 
 4,058     Deutsche Euroshop AG.   143 
 10,095     Deutsche Lufthansa AG.   242 
 136,679     Deutsche Post AG.   4,441 
 913,638     Deutsche Telekom AG.   14,120 
 46,185  *  Deutsche Wohnen AG.   2,231 
 115,628     Drillisch AG.   6,559 
 1,379,607     E.ON AG.   14,699 
 7,111     Evonik Industries AG.   243 
 1,734     Fraport AG. Frankfurt Airport Services Worldwide   167 
 133,663     Fresenius Medical Care AG.   13,459 
 49,179     Fresenius SE   3,938 
 2,865     Fuchs Petrolub AG. (Preference)   141 
 7,612     GEA Group AG.   256 
 9,277     Grand City Properties S.A.   241 
 2,649     Hannover Rueckversicherung AG.   329 
 6,257     HeidelbergCement AG.   525 
 4,413     Henkel KGaA   490 
 7,618     Henkel KGaA (Preference)   972 
 888     Hochtief AG.   160 
 2,792     Hugo Boss AG.   253 
 48,338     Infineon Technologies AG.   1,228 
 5,694  g  Innogy SE   243 
 7,565     K&S AG.   186 
 3,032     KION Group AG.   218 
 3,857     Lanxess AG.   300 
 5,798     LEG Immobilien AG.   630 
 500,274     Linde AG. (Tender)   118,854 
 1,376     MAN AG.   156 
 22,901     Merck KGaA   2,229 
 7,846     Metro Wholesale & Food Specialist AG.   97 
 2,223     MTU Aero Engines Holding AG.   426 
 6,696     Muenchener Rueckver AG.   1,408 
 4,674     Osram Licht AG.   190 
 464,504  *  Paion AG.   1,136 
 6,544     Porsche AG.   416 
 9,919     ProSiebenSat. Media AG.   251 
 472     Puma AG. Rudolf Dassler Sport   276 
 5,492  *  Puma SE   3,213 
 68,617     RWE AG.   1,559 
 165,026     SAP AG.   19,047 
 1,525     Sartorius AG.   227 
 7,455     Schaeffler AG.   97 
 348,332  g  Scout24 AG.   18,437 
 267,726     Siemens AG.   35,275 
209

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 55,461  *,g  Siemens Healthineers AG.  $2,286 
 5,377     Symrise AG.   470 
 11,596     TAG Tegernsee Immobilien und Beteiligungs AG.   255 
 30,253     Telefonica Deutschland Holding AG.   119 
 1,388,910     ThyssenKrupp AG.   33,667 
 5,798     TLG Immobilien AG.   154 
 18,817     TUI AG. (DI)   412 
 8,612     Uniper SE   256 
 139,729     United Internet AG.   7,977 
 1,561     Volkswagen AG.   257 
 7,755     Volkswagen AG. (Preference)   1,281 
 128,718     Wirecard AG.   20,598 
 4,763  *,g  Zalando SE   265 
       TOTAL GERMANY   483,629 
               
GREECE - 0.0%
 206,243  *  Alpha Bank AE   460 
 259,449  *  Eurobank Ergasias S.A.   270 
 5,760  *,†,m  Hellenic Duty Free Shops S.A.   24 
 36,566     Hellenic Telecommunications Organization S.A.   451 
 14,402     JUMBO S.A.   237 
 707,183  *  National Bank of Greece S.A.   216 
 33,545     OPAP S.A.   378 
 43,004  *  Piraeus Bank S.A.   145 
 7,271  *  Titan Cement Co S.A.   184 
       TOTAL GREECE   2,365 
               
HONG KONG - 0.8%
 4,678,358     AIA Group Ltd   40,755 
 2,250,000  *,e  Alibaba Pictures Group Ltd   246 
 11,918  e  ASM Pacific Technology   150 
 172,923  e  Bank of East Asia Ltd   689 
 160,353     BOC Hong Kong Holdings Ltd   754 
 99,000     Cathay Pacific Airways Ltd   156 
 422,000  *  China First Capital Group Ltd   269 
 296,000     China Gas Holdings Ltd   1,187 
 306,000     China Resources Cement Holdings Ltd   308 
 113,625     CK Asset Holdings Ltd   900 
 117,043     CK Hutchison Holdings Ltd   1,239 
 60,953     CK Infrastructure Holdings Ltd   451 
 220,954     CLP Holdings Ltd   2,380 
 14,700     Dairy Farm International Holdings Ltd   129 
 713     First Pacific Co    0^
 1,042,500  e  Fullshare Holdings Ltd   516 
 103,803     Galaxy Entertainment Group Ltd   800 
 1,635,000  *,e  GCL Poly Energy Holdings Ltd   154 
 1,434  *,e  Global Brands Group Holding Ltd    0^
 216,000     Haier Electronics Group Co Ltd   737 
 39,000     Hang Lung Group Ltd   109 
 396,576     Hang Lung Properties Ltd   815 
 97,172     Hang Seng Bank Ltd   2,426 
 196,257     Henderson Land Development Co Ltd   1,035 
 121,500  e,g  HK Electric Investments & HK Electric Investments Ltd   116 
210

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 154,660     HKT Trust and HKT Ltd  $197 
 1,183,528     Hong Kong & China Gas Ltd   2,262 
 169,988     Hong Kong Electric Holdings Ltd   1,188 
 81,707     Hong Kong Exchanges and Clearing Ltd   2,445 
 249,485     Hongkong Land Holdings Ltd   1,784 
 4,760  m  Hopewell Highway Infrastructure Ltd   3 
 7,747     Hutchison Port Holdings Trust   2 
 84,760     Hysan Development Co Ltd   473 
 75,343  *  I-Cable Communications Ltd   1 
 9,300     Jardine Matheson Holdings Ltd   586 
 9,600     Jardine Strategic Holdings Ltd   350 
 108,526     Kerry Properties Ltd   519 
 96,000     Kingboard Chemical Holdings Ltd   350 
 162,500     Kingboard Laminates Holdings Ltd   200 
 264,000     Lee & Man Paper Manufacturing Ltd   266 
 263,027     Li & Fung Ltd   96 
 183,026     Link REIT   1,669 
 2,761,029     Melco Crown Entertainment Ltd (ADR)   77,309 
 64,678     MTR Corp   357 
 820,492     New World Development Co Ltd   1,148 
 233,000     Nine Dragons Paper Holdings Ltd   296 
 3  *,e  Noble Group Ltd    0^
 57,638     NWS Holdings Ltd   100 
 187,262     PCCW Ltd   105 
 47,992     Shangri-La Asia Ltd   90 
 1,142,000     Sino Biopharmaceutical   1,744 
 144,365     Sino Land Co   235 
 88,611     SJM Holdings Ltd   110 
 230,000     Skyworth Digital Holdings Ltd   102 
 228,000     SSY Group Ltd   252 
 360,500     Sun Art Retail Group Ltd   470 
 185,468     Sun Hung Kai Properties Ltd   2,794 
 22,628  e  Swire Pacific Ltd (Class A)   239 
 413,216     Swire Properties Ltd   1,524 
 58,402     Techtronic Industries Co   324 
 145,000     Towngas China Co Ltd   140 
 380,500  g  WH Group Ltd   308 
 154,053     Wharf Holdings Ltd   493 
 559,053     Wharf Real Estate Investment Co Ltd   3,970 
 35,334     Wheelock & Co Ltd   246 
 31,912     Yue Yuen Industrial Holdings   90 
       TOTAL HONG KONG   161,158 
               
HUNGARY - 0.1%
 1,136,659     MOL Hungarian Oil & Gas plc   10,938 
 37,504     OTP Bank   1,354 
 20,045     Richter Gedeon Rt   365 
       TOTAL HUNGARY   12,657 
               
INDIA - 1.1%
 257,400     ABB ASEA Brown Boveri Ltd   7,172 
 81,876     Ambuja Cements Ltd   248 
 170,787     Ashok Leyland Ltd   314 
211

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 43,384     Asian Paints Ltd  $801 
 38,869     Aurobindo Pharma Ltd   345 
 19,014  *,g  Avenue Supermarts Ltd   412 
 266,713     Axis Bank Ltd   1,991 
 25,575     Bajaj Finance Ltd   859 
 5,355     Bajaj Finserv Ltd   456 
 11,861     Bajaj Holdings and Investment Ltd   486 
 28,467     Bharat Forge Ltd   255 
 124,427     Bharat Heavy Electricals   130 
 155,829     Bharat Petroleum Corp Ltd   852 
 231,722     Bharti Airtel Ltd   1,293 
 47,828     Bharti Infratel Ltd   210 
 1,070     Bosch Ltd   274 
 4,055     Britannia Industries Ltd   368 
 28,798  *  Cadila Healthcare Ltd   159 
 50,286  *  Cipla Ltd   452 
 142,447     Coal India Ltd   550 
 356,507     Container Corp Of India Ltd   3,395 
 76,870     Dabur India Ltd   439 
 29,839  *  DEN Networks Ltd   35 
 16,718     Dr Reddy’s Laboratories Ltd   544 
 2,257     Eicher Motors Ltd   941 
 118,640     GAIL India Ltd   590 
 19,260     Glenmark Pharmaceuticals Ltd   164 
 34,185     Godrej Consumer Products Ltd   612 
 47,888     Grasim Industries Ltd   705 
 34,244     Havells India Ltd   271 
 92,476     HCL Technologies Ltd   1,250 
 662,363     HDFC Bank Ltd   20,404 
 7,202     Hero Honda Motors Ltd   365 
 172,592     Hindalco Industries Ltd   581 
 110,745     Hindustan Lever Ltd   2,652 
 3,096,593     Hindustan Petroleum Corp Ltd   11,751 
 266,139     Housing Development Finance Corp   7,416 
 401,512     ICICI Bank Ltd   1,615 
 3,494,019     ICICI Bank Ltd (ADR)   28,057 
 248,611  *  Idea Cellular Ltd   216 
 2,286,270     Indiabulls Housing Finance Ltd   38,227 
 284,107     Indian Oil Corp Ltd   649 
 296,255     Infosys Technologies Ltd   5,679 
 12,256  g  InterGlobe Aviation Ltd   195 
 582,525     ITC Ltd   2,264 
 128,950     JSW Steel Ltd   615 
 80,367     Larsen & Toubro Ltd   1,496 
 42,504     LIC Housing Finance Ltd   291 
 32,576  *  Lupin Ltd   430 
 41,677  *  Mahindra & Mahindra Financial Services Ltd   286 
 122,170     Mahindra & Mahindra Ltd   1,601 
 64,340     Marico Ltd   311 
 18,029     Maruti Suzuki India Ltd   2,324 
 90,612  *  Motherson Sumi Systems Ltd   377 
 75,306     Mundra Port and Special Economic Zone Ltd   411 
 3,302     Nestle India Ltd   473 
212

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 289,241     NTPC Ltd  $674 
 132,893     Petronet LNG Ltd   426 
 16,549  *  Pidilite Industries Ltd   257 
 11,563  *  Piramal Healthcare Ltd   428 
 228,689     Power Grid Corp of India Ltd   624 
 202,943  *  Puravankara Projects Ltd   308 
 2,123,340     Reliance Industries Ltd   30,168 
 73,494     Rural Electrification Corp Ltd   112 
 194,698  *  Sesa Sterlite Ltd   672 
 1,268     Shree Cement Ltd   288 
 21,436     Shriram Transport Finance Co Ltd   407 
 9,731     Siemens India Ltd   139 
 292,565  *  State Bank of India   1,109 
 143,758     Sun Pharmaceutical Industries Ltd   1,185 
 851,610     Tata Chemicals Ltd   8,684 
 155,820     Tata Consultancy Services Ltd   4,202 
 265,050  *  Tata Motors Ltd   1,042 
 143,411     Tata Power Co Ltd   153 
 49,466     Tata Steel Ltd   410 
 1,038,002     Tech Mahindra Ltd   9,926 
 45,505  *  Titan Industries Ltd   584 
 16,090     Ultra Tech Cement Ltd   897 
 469,950  *  United Phosphorus Ltd   4,249 
 42,498  *  United Spirits Ltd   413 
 67,386  *  Vakrangee Ltd   66 
 165,944     Wipro Ltd   633 
 1,507,915     Yes Bank Ltd   7,493 
 76,408  *  ZEE Telefilms Ltd   607 
       TOTAL INDIA   231,415 
               
INDONESIA - 0.1%
 3,096,600     Adaro Energy Tbk   386 
 9,481,400     Bank Rakyat Indonesia   1,875 
 373,000     Indofood CBP Sukses Makmur Tbk   231 
 287,900     PT AKR Corporindo Tbk   86 
 3,397,600     PT Astra International Tbk   1,564 
 1,692,700     PT Bank Central Asia Tbk   2,528 
 514,500     PT Bank Danamon Indonesia Tbk   229 
 3,172,200     PT Bank Mandiri Persero Tbk   1,518 
 1,242,900     PT Bank Negara Indonesia   611 
 559,000     PT Bank Tabungan Negara Tbk   95 
 918,300     PT Bumi Serpong Damai   100 
 1,164,900     PT Charoen Pokphand Indonesia Tbk   299 
 45,200  *  PT Excelcomindo Pratama   8 
 77,800     PT Gudang Garam Tbk   365 
 1,490,700     PT Hanjaya Mandala Sampoerna Tbk   372 
 408,800     PT Indah Kiat Pulp and Paper Corp Tbk   530 
 288,200     PT Indocement Tunggal Prakarsa Tbk   274 
 674,800     PT Indofood Sukses Makmur Tbk   313 
 316,800     PT Jasa Marga Tbk   92 
 3,305,600     PT Kalbe Farma Tbk   281 
 1,697,900     PT Matahari Department Store Tbk   1,040 
 2,950,200     PT Pakuwon Jati Tbk   109 
213

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,764,000     PT Perusahaan Gas Negara Persero Tbk  $245 
 405,100     PT Semen Gresik Persero Tbk   201 
 726,400     PT Surya Citra Media Tbk   104 
 8,509,900     PT Telekomunikasi Indonesia Persero Tbk   2,229 
 257,700     PT Unilever Indonesia Tbk   828 
 352,200     PT United Tractors Tbk   776 
 822,100     PT Waskita Karya Persero Tbk   110 
 243,400     Tower Bersama Infrastructure   85 
       TOTAL INDONESIA   17,484 
               
IRELAND - 0.5%
 377,647  *  AerCap Holdings NV   20,450 
 319,724     AIB Group plc   1,731 
 411,611     Bank of Ireland Group plc   3,194 
 647,784     CRH plc   22,785 
 2,302,262     Green REIT plc   3,979 
 6,039,827     Hibernia REIT plc   10,580 
 147,992  *,†,m  Irish Bank Resolution Corp Ltd    0 
 19,644     James Hardie Industries NV   329 
 66,613     Kerry Group plc (Class A)   6,970 
 577,276     Keywords Studios plc   13,592 
 3,556     Paddy Power plc   395 
 4,593  *  Ryanair Holdings plc   85 
 91  *  Ryanair Holdings plc (ADR)   10 
 633,425     Smurfit Kappa Group plc   25,572 
       TOTAL IRELAND   109,672 
               
ISRAEL - 0.1%
 1,118     Azrieli Group   55 
 124,071     Bank Hapoalim Ltd   841 
 158,247     Bank Leumi Le-Israel   936 
 1,450,819     Bezeq Israeli Telecommunication Corp Ltd   1,635 
 5,477  *  Check Point Software Technologies   535 
 618     Elbit Systems Ltd   73 
 1,013     Frutarom Industries Ltd   100 
 15,683     Israel Chemicals Ltd   72 
 19,671     Mizrahi Tefahot Bank Ltd   362 
 1,597  *  Nice Systems Ltd   165 
 526,588     Teva Pharmaceutical Industries Ltd (ADR)   12,807 
       TOTAL ISRAEL   17,581 
               
ITALY - 0.7%
 7,569,859     A2A S.p.A.   13,103 
 51,417     Assicurazioni Generali S.p.A.   860 
 20,579     Autostrade S.p.A.   607 
 6,767,444     Banca Intesa S.p.A.   19,580 
 39,865     Banca Intesa S.p.A. RSP   120 
 231,935  e  Beni Stabili S.p.A.   203 
 100,000     Brunello Cucinelli S.p.A   4,453 
 858,708  e  Davide Campari-Milano S.p.A   7,048 
 1,059,819     Enel S.p.A.   5,873 
 108,772     ENI S.p.A.   2,017 
 5,251     Ferrari NV   710 
214

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 17,311     Finmeccanica S.p.A.  $170 
 3,027,943     Iride S.p.A.   7,726 
 57,239     Luxottica Group S.p.A.   3,685 
 357,158     Mediobanca S.p.A.   3,304 
 514,859     Moncler S.p.A   23,362 
 17,209  *,g  Pirelli & C S.p.A   143 
 22,100  g  Poste Italiane S.p.A   184 
 8,732,199     Prada S.p.A   40,233 
 8,891     Prysmian S.p.A.   221 
 4,476     Recordati S.p.A.   177 
 97,234     Snam Rete Gas S.p.A.   405 
 259,657     Telecom Italia RSP   169 
 473,430  *  Telecom Italia S.p.A.   351 
 59,520  e  Terna Rete Elettrica Nazionale S.p.A.   321 
 85,699     UniCredit S.p.A.   1,420 
       TOTAL ITALY   136,445 
               
JAPAN - 7.1%
 1,210     ABC-Mart, Inc   66 
 17,000  e  Acom Co Ltd   65 
 121     Activia Properties Inc   554 
 26,846     Aeon Co Ltd   574 
 4,852     AEON Financial Service Co Ltd   103 
 4,497     Aeon Mall Co Ltd   81 
 19,872     Air Water, Inc   364 
 414,790     Aisin Seiki Co Ltd   18,886 
 19,568     Ajinomoto Co, Inc   370 
 29,105     Alfresa Holdings Corp   683 
 9,150  e  All Nippon Airways Co Ltd   336 
 8,132     Alps Electric Co Ltd   209 
 14,844     Amada Co Ltd   142 
 5,184     Aozora Bank Ltd   197 
 15,751     Asahi Breweries Ltd   808 
 288,701     Asahi Glass Co Ltd   11,229 
 165,325     Asahi Kasei Corp   2,097 
 35,400     Ashikaga Holdings Co Ltd   119 
 7,000  e  Asics Corp   118 
 386,400     Astellas Pharma, Inc   5,880 
 2,421     Bank of Kyoto Ltd   112 
 3,053     Benesse Holdings Inc   108 
 205     BLife Investment Corp   487 
 26,530     Bridgestone Corp   1,036 
 10,085     Brother Industries Ltd   199 
 3,400     Calbee, Inc   128 
 42,777  e  Canon, Inc   1,403 
 7,533     Casio Computer Co Ltd   122 
 6,144     Central Japan Railway Co   1,272 
 1,900     Century Leasing System, Inc   108 
 27,162     Chiba Bank Ltd   192 
 95,706     Chubu Electric Power Co, Inc   1,435 
 67,169     Chugai Pharmaceutical Co Ltd   3,517 
 12,566     Chugoku Electric Power Co, Inc   162 
 5,600     Coca-Cola West Japan Co Ltd   224 
215

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 46,400     Concordia Financial Group Ltd  $236 
 80,000     Cosmo Energy Holdings Co Ltd   2,802 
 5,768     Credit Saison Co Ltd   91 
 4,300     CyberAgent, Inc   258 
 4,900  *,e  CYBERDYNE, Inc   57 
 10,238     Dai Nippon Printing Co Ltd   229 
 12,046     Daicel Chemical Industries Ltd   133 
 4,300     Daifuku Co Ltd   188 
 1,268,111     Dai-ichi Mutual Life Insurance Co   22,569 
 248,894     Daiichi Sankyo Co Ltd   9,509 
 81,455     Daikin Industries Ltd   9,735 
 7,849     Daito Trust Construction Co Ltd   1,277 
 24,256     Daiwa House Industry Co Ltd   825 
 70,080     Daiwa Securities Group, Inc   406 
 4,600     Dena Co Ltd   86 
 19,087     Denso Corp   931 
 9,455     Dentsu, Inc   448 
 1,200     Disco Corp   204 
 5,133     Don Quijote Co Ltd   246 
 114,197     East Japan Railway Co   10,936 
 10,728     Eisai Co Ltd   755 
 6,493     Electric Power Development Co   168 
 169,500     en-japan, Inc   8,530 
 3,444     FamilyMart Co Ltd   363 
 8,285     Fanuc Ltd   1,642 
 2,483     Fast Retailing Co Ltd   1,138 
 25,822     Fuji Electric Holdings Co Ltd   196 
 26,439     Fuji Heavy Industries Ltd   769 
 501,286     Fujifilm Holdings Corp   19,552 
 3,223,991     Fujitsu Ltd   19,510 
 30,733     Fukuoka Financial Group, Inc   154 
 20     GLP J-Reit   21 
 164,400  e  GMO Payment Gateway, Inc   18,927 
 51     Hachijuni Bank Ltd    0^
 9,400     Hakuhodo DY Holdings, Inc   151 
 6,100     Hamamatsu Photonics KK   262 
 10,093     Hankyu Hanshin Holdings, Inc   405 
 932     Hikari Tsushin, Inc   164 
 10,882     Hino Motors Ltd   116 
 1,373     Hirose Electric Co Ltd   170 
 8,875     Hisamitsu Pharmaceutical Co, Inc   748 
 13,985     Hitachi Chemical Co Ltd   282 
 4,733     Hitachi Construction Machinery Co Ltd   153 
 2,800     Hitachi High-Technologies Corp   114 
 7,335,793     Hitachi Ltd   51,681 
 25,585     Hitachi Metals Ltd   265 
 69,796     Honda Motor Co Ltd   2,047 
 2,312     Hoshizaki Electric Co Ltd   234 
 16,527     Hoya Corp   938 
 74,728     Hulic Co Ltd   798 
 17,329     Idemitsu Kosan Co Ltd   616 
 6,329     Iida Group Holdings Co Ltd   122 
 4,329,600  e  Infomart Corp   57,404 
216

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 123,883     Inpex Holdings, Inc  $1,287 
 4,449     Invincible Investment Corp   2,002 
 15,081     Isetan Mitsukoshi Holdings Ltd   188 
 737,824     Ishikawajima-Harima Heavy Industries Co Ltd   25,664 
 23,600     Isuzu Motors Ltd   313 
 61,469     Itochu Corp   1,112 
 9,895     J Front Retailing Co Ltd   150 
 4,824     Japan Airlines Co Ltd   171 
 2,103     Japan Airport Terminal Co Ltd   98 
 16,846     Japan Post Bank Co Ltd   196 
 67,540     Japan Post Holdings Co Ltd   739 
 32     Japan Prime Realty Investment Corp   116 
 55     Japan Real Estate Investment Corp   291 
 1,013     Japan Retail Fund Investment Corp   1,827 
 137,063     Japan Tobacco, Inc   3,830 
 66,223     JFE Holdings, Inc   1,251 
 9,078     JGC Corp   183 
 25,558     JSR Corp   434 
 576,503     JTEKT Corp   7,825 
 2,770,688     JX Holdings, Inc   19,222 
 39,372     Kajima Corp   304 
 6,134     Kakaku.com, Inc   138 
 4,785     Kamigumi Co Ltd   99 
 34,129     Kaneka Corp   306 
 194,935     Kansai Electric Power Co, Inc   2,843 
 25,614     Kansai Paint Co Ltd   532 
 64,985     Kao Corp   4,953 
 6,051     Kawasaki Heavy Industries Ltd   178 
 77,797     KDDI Corp   2,127 
 4,300     Keihan Electric Railway Co Ltd   154 
 9,660     Keihin Electric Express Railway Co Ltd   158 
 4,623     Keio Corp   223 
 5,713     Keisei Electric Railway Co Ltd   196 
 28     Kenedix Realty Investment Corp   174 
 225,300     Kenedix, Inc   1,367 
 4,138     Keyence Corp   2,334 
 6,395     Kikkoman Corp   323 
 7,449     Kintetsu Corp   304 
 35,749     Kirin Brewery Co Ltd   958 
 2,100     Kobayashi Pharmaceutical Co Ltd   181 
 41,101     Kobe Steel Ltd   376 
 4,600     Koito Manufacturing Co Ltd   304 
 39,450     Komatsu Ltd   1,123 
 3,686     Konami Corp   187 
 966,420     Konica Minolta Holdings, Inc   8,963 
 1,228     Kose Corp   264 
 1,041,098     Kubota Corp   16,340 
 45,274     Kuraray Co Ltd   623 
 4,277     Kurita Water Industries Ltd   122 
 13,700     Kyocera Corp   770 
 22,789     Kyowa Hakko Kogyo Co Ltd   459 
 36,377     Kyushu Electric Power Co, Inc   406 
 6,900     Kyushu Railway Co   211 
217

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,980     Lawson, Inc  $124 
 2,800  *,e  LINE Corp   116 
 9,600     Lion Corp   176 
 11,264     LIXIL Group Corp   225 
 8,638     M3, Inc   344 
 2,137     Mabuchi Motor Co Ltd   101 
 53     Maeda Corp   1 
 9,588     Makita Corp   429 
 1,198,465     Marubeni Corp   9,124 
 8,809     Marui Co Ltd   185 
 7,396     Maruichi Steel Tube Ltd   251 
 23,515     Mazda Motor Corp   288 
 2,800     McDonald’s Holdings Co Japan Ltd   143 
 7,159     Mediceo Paltac Holdings Co Ltd   144 
 283,100  e  Megachips Corp   7,526 
 5,108     MEIJI Holdings Co Ltd   431 
 17,900  *,e  Mercari, Inc   733 
 16,400     Minebea Co Ltd   276 
 5,500     Miraca Holdings, Inc   164 
 12,000     MISUMI Group, Inc   349 
 177,962     Mitsubishi Chemical Holdings Corp   1,486 
 57,822     Mitsubishi Corp   1,603 
 78,114     Mitsubishi Electric Corp   1,036 
 83,196     Mitsubishi Estate Co Ltd   1,452 
 23,080     Mitsubishi Gas Chemical Co, Inc   522 
 259,312     Mitsubishi Heavy Industries Ltd   9,426 
 317,311     Mitsubishi Materials Corp   8,705 
 28,908     Mitsubishi Motors Corp   230 
 506,362     Mitsubishi UFJ Financial Group, Inc   2,868 
 18,800     Mitsubishi UFJ Lease & Finance Co Ltd   115 
 73,082     Mitsui & Co Ltd   1,217 
 24,228     Mitsui Chemicals, Inc   644 
 115,906     Mitsui Fudosan Co Ltd   2,792 
 4,949     Mitsui OSK Lines Ltd   119 
 20,342     Mitsui Sumitomo Insurance Group Holdings, Inc   632 
 922,418     Mitsui Trust Holdings, Inc   36,393 
 1,025,756     Mizuho Financial Group, Inc   1,728 
 516,800  e  MonotaRO Co Ltd   22,830 
 117     Mori Hills REIT Investment Corp   150 
 195,335     Murata Manufacturing Co Ltd   32,792 
 4,839     Nabtesco Corp   149 
 7,700     Nagoya Railroad Co Ltd   199 
 8,406     Namco Bandai Holdings, Inc   346 
 11,261     NEC Corp   309 
 18,000  *  Nexon Co Ltd   261 
 11,524     NGK Insulators Ltd   205 
 7,048     NGK Spark Plug Co Ltd   200 
 9,517     Nidec Corp   1,424 
 13,981     Nikon Corp   222 
 240,703     Nintendo Co Ltd   78,572 
 57     Nippon Building Fund, Inc   329 
 3,662     Nippon Electric Glass Co Ltd   102 
 3,444     Nippon Express Co Ltd   250 
218

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 3,672     Nippon Meat Packers, Inc  $148 
 20,626     Nippon Paint Co Ltd   887 
 77     Nippon ProLogis REIT, Inc   160 
 99,001     Nippon Steel Corp   1,941 
 762,592     Nippon Telegraph & Telephone Corp   34,643 
 6,876     Nippon Yusen Kabushiki Kaisha   136 
 16,139     Nissan Chemical Industries Ltd   752 
 1,424,227     Nissan Motor Co Ltd   13,858 
 8,931     Nisshin Seifun Group, Inc   189 
 2,545     Nissin Food Products Co Ltd   184 
 3,413     Nitori Co Ltd   531 
 21,337     Nitto Denko Corp   1,611 
 225,338     NKSJ Holdings, Inc   9,092 
 382,255     NOK Corp   7,383 
 2,777,780     Nomura Holdings, Inc   13,442 
 5,274     Nomura Real Estate Holdings, Inc   117 
 475     Nomura Real Estate Master Fund, Inc   671 
 4,900     Nomura Research Institute Ltd   237 
 16,235     NSK Ltd   167 
 27,100     NTT Data Corp   312 
 293,886     NTT DoCoMo, Inc   7,489 
 27,796     Obayashi Corp   289 
 2,900     Obic Co Ltd   240 
 12,246     Odakyu Electric Railway Co Ltd   263 
 110,994     OJI Paper Co Ltd   688 
 743,043     Olympus Corp   27,795 
 114,844     Omron Corp   5,350 
 16,768     Ono Pharmaceutical Co Ltd   393 
 1,603     Oracle Corp Japan   131 
 8,531     Oriental Land Co Ltd   894 
 2,403,018     ORIX Corp   37,877 
 216     Orix JREIT, Inc   345 
 470,721     Osaka Gas Co Ltd   9,747 
 21,522     Osaka Securities Exchange Co Ltd   399 
 4,322     Otsuka Corp   169 
 16,700     Otsuka Holdings KK   808 
 311,100     Paltac Corp   17,890 
 290,455     Panasonic Corp   3,917 
 3,900     Park24 Co Ltd   106 
 4,110     Pola Orbis Holdings, Inc   181 
 37,600     Rakuten, Inc   254 
 146,853     Recruit Holdings Co Ltd   4,056 
 33,900  *  Renesas Electronics Corp   331 
 89,942     Resona Holdings, Inc   479 
 28,682     Ricoh Co Ltd   263 
 1,512     Rinnai Corp   133 
 85,235     Rohm Co Ltd   7,123 
 1,044     Ryohin Keikaku Co Ltd   367 
 1,980     Sankyo Co Ltd   77 
 51,753     Santen Pharmaceutical Co Ltd   900 
 171,691     SBI Holdings, Inc   4,402 
 8,967     Secom Co Ltd   688 
 6,552     Sega Sammy Holdings, Inc   112 
219

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 9,200     Seibu Holdings, Inc  $155 
 12,400     Seiko Epson Corp   215 
 756,900     Seino Holdings Corp   13,393 
 16,295     Sekisui Chemical Co Ltd   277 
 230,220     Sekisui House Ltd   4,069 
 151,800  e  Seria Co Ltd   7,275 
 32,286     Seven & I Holdings Co Ltd   1,408 
 24,000     Seven Bank Ltd   73 
 4,200     SG Holdings Co Ltd   92 
 6,999  e  Sharp Corp   170 
 186,399  *  SHIFT, Inc   8,247 
 10,047     Shimadzu Corp   303 
 927     Shimamura Co Ltd   82 
 3,192     Shimano, Inc   468 
 23,262     Shimizu Corp   241 
 88,739     Shin-Etsu Chemical Co Ltd   7,886 
 6,877     Shinsei Bank Ltd   106 
 58,690     Shionogi & Co Ltd   3,012 
 16,193     Shiseido Co Ltd   1,285 
 20,201     Shizuoka Bank Ltd   182 
 24,822     Showa Shell Sekiyu KK   370 
 2,463     SMC Corp   902 
 525,000     SMS Co Ltd   9,574 
 238,866     Softbank Corp   17,057 
 3,100     Sohgo Security Services Co Ltd   146 
 4,541,900     Sojitz Holdings Corp   16,449 
 2,928,604     Sony Corp   149,987 
 207,728     Sony Financial Holdings, Inc   3,958 
 5,814     Stanley Electric Co Ltd   198 
 672     Star Asia Investment Corp   667 
 8,600     Start Today Co Ltd   311 
 10,035  e  Sumco Corp   202 
 205,283     Sumitomo Chemical Co Ltd   1,161 
 49,065     Sumitomo Corp   805 
 6,863     Sumitomo Dainippon Pharma Co Ltd   145 
 781,947     Sumitomo Electric Industries Ltd   11,630 
 463,925     Sumitomo Heavy Industries Ltd   15,631 
 31,815     Sumitomo Metal Mining Co Ltd   1,214 
 996,191     Sumitomo Mitsui Financial Group, Inc   38,857 
 50,516     Sumitomo Realty & Development Co Ltd   1,860 
 7,363  e  Sumitomo Rubber Industries, Inc   117 
 2,800     Sundrug Co Ltd   113 
 6,000     Suntory Beverage & Food Ltd   257 
 2,245,476     Suruga Bank Ltd   20,001 
 3,407     Suzuken Co Ltd   144 
 14,734     Suzuki Motor Corp   812 
 185,071     Sysmex Corp   17,244 
 23,495     T&D Holdings, Inc   352 
 5,000     Taiheiyo Cement Corp   164 
 9,293     Taisei Corp   512 
 5,056     Taisho Pharmaceutical Holdings Co Ltd   591 
 16,267     Taiyo Nippon Sanso Corp   233 
 12,117     Takashimaya Co Ltd   104 
220

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 30,511     Takeda Pharmaceutical Co Ltd  $1,284 
 10,494     Tanabe Seiyaku Co Ltd   181 
 96,356     TDK Corp   9,811 
 207,700     TechnoPro Holdings, Inc   12,754 
 24,586     Teijin Ltd   450 
 7,702     Temp Holdings Co Ltd   172 
 13,246     Terumo Corp   758 
 5,194     THK Co Ltd   148 
 7,834     Tobu Railway Co Ltd   239 
 4,875     Toho Co Ltd   163 
 3,000     Toho Gas Co Ltd   104 
 19,113     Tohoku Electric Power Co, Inc   234 
 349,164     Tokio Marine Holdings, Inc   16,335 
 616,800  *,e  Tokyo Base Co Ltd   4,708 
 196,325  *  Tokyo Electric Power Co, Inc   914 
 6,716     Tokyo Electron Ltd   1,153 
 99,032     Tokyo Gas Co Ltd   2,630 
 41,400     Tokyo Tatemono Co Ltd   568 
 21,629     Tokyu Corp   372 
 22,000     Tokyu Fudosan Holdings Corp   155 
 21,734     Toppan Printing Co Ltd   170 
 187,045     Toray Industries, Inc   1,476 
 278,554  *  Toshiba Corp   836 
 888,520     Tosoh Corp   13,738 
 6,342     Toto Ltd   294 
 20,939     Toyo Seikan Kaisha Ltd   367 
 3,899     Toyo Suisan Kaisha Ltd   139 
 2,897     Toyoda Gosei Co Ltd   73 
 195,693     Toyota Industries Corp   10,954 
 1,931,953     Toyota Motor Corp   124,937 
 9,394     Toyota Tsusho Corp   314 
 5,028     Trend Micro, Inc   286 
 378,500     TS Tech Co Ltd   15,768 
 1,500     Tsuruha Holdings, Inc   188 
 17,207     Uni-Charm Corp   517 
 311     United Urban Investment Corp   483 
 9,430     USS Co Ltd   179 
 106,343  e  Wash House Co Ltd   1,531 
 6,907     West Japan Railway Co   509 
 61,838  e  Yahoo! Japan Corp   205 
 4,604     Yakult Honsha Co Ltd   308 
 26,331     Yamada Denki Co Ltd   131 
 8,406     Yamaguchi Financial Group, Inc   95 
 5,808     Yamaha Corp   301 
 12,091     Yamaha Motor Co Ltd   304 
 13,455  e  Yamato Transport Co Ltd   396 
 5,453     Yamazaki Baking Co Ltd   143 
 10,324     Yaskawa Electric Corp   364 
 9,710     Yokogawa Electric Corp   172 
 4,800     Yokohama Rubber Co Ltd   100 
 427,000  e  Yume No Machi Souzou Iinkai Co Ltd   8,863 
       TOTAL JAPAN   1,466,882 
221

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
JERSEY, C.I. - 0.0%
 11,773     Randgold Resources Ltd  $906 
       TOTAL JERSEY, C.I.   906 
               
KOREA, REPUBLIC OF - 1.0%
 5,484     Amorepacific Corp   1,587 
 1,599     Amorepacific Corp (Preference)   222 
 1,335     BGF retail Co Ltd   234 
 38,654     BS Financial Group, Inc   324 
 5,736  *  Celltrion Healthcare Co Ltd   569 
 1,953  *  Celltrion Pharm Inc   158 
 13,734  *,e  Celltrion, Inc   3,731 
 10,826     Cheil Communications, Inc   201 
 12,927     Cheil Industries, Inc   1,352 
 1,362     CJ CheilJedang Corp   431 
 1,963     CJ Corp   250 
 3,151  m  CJ E&M Corp   324 
 444     CJ O Shopping Co Ltd   111 
 4,117     Daelim Industrial Co   283 
 22,667  *  Daewoo Engineering & Construction Co Ltd   119 
 5,733     Daewoo International Corp   110 
 66,004     Daewoo Securities Co Ltd   504 
 23,863     DGB Financial Group Co Ltd   219 
 7,911     Dongbu Insurance Co Ltd   419 
 5,161     Dongsuh Co, Inc   121 
 5,599     Doosan Bobcat, Inc   161 
 8,025  *  Doosan Heavy Industries and Construction Co Ltd   113 
 975,441  *,e  Doosan Infracore Co Ltd   8,449 
 3,404     E-Mart Co Ltd   777 
 3,188     GLOVIS Co Ltd   330 
 8,389     GS Engineering & Construction Corp   347 
 11,927     GS Holdings Corp   582 
 4,714     GS Retail Co Ltd   186 
 49,581     Hana Financial Group, Inc   1,904 
 11,912     Hankook Tire Co Ltd   450 
 1,027     Hanmi Pharm Co Ltd   388 
 2,101     Hanmi Science Co Ltd   122 
 29,448     Hanon Systems   280 
 1,879     Hanssem Co Ltd   177 
 17,730     Hanwha Chemical Corp   348 
 5,587     Hanwha Corp   158 
 6,045  *  HDC Hyundai Development Co-Engineering & Construction   292 
 4,689  *  HLB, Inc   410 
 2,831     Honam Petrochemical Corp   883 
 5,290     Hotel Shilla Co Ltd   586 
 98,464     Hynix Semiconductor, Inc   7,558 
 5,290  †,m  Hyosung Corp   638 
 2,274     Hyundai Department Store Co Ltd   236 
 3,774     Hyundai Development Co   97 
 13,239     Hyundai Engineering & Construction Co Ltd   684 
 5,964  *  Hyundai Heavy Industries   545 
 9,577     Hyundai Marine & Fire Insurance Co Ltd   290 
222

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 11,523     Hyundai Mobis  $2,192 
 25,980     Hyundai Motor Co   2,920 
 6,241     Hyundai Motor Co Ltd (2nd Preference)   508 
 3,699     Hyundai Motor Co Ltd (Preference)   273 
 1,511  *  Hyundai Robotics Co Ltd   479 
 13,698     Hyundai Steel Co   646 
 278     Hyundai Wia Corp   10 
 39,566     Industrial Bank of Korea   546 
 353,907  g  ING Life Insurance Korea Ltd   13,286 
 7,580     Kakao Corp   778 
 112,161     Kangwon Land, Inc   2,632 
 371,535     KB Financial Group, Inc   17,489 
 924     KCC Corp   272 
 3,756     KEPCO Plant Service & Engineering Co Ltd   120 
 44,219     Kia Motors Corp   1,222 
 11,493  *  Korea Aerospace Industries Ltd   424 
 43,666     Korea Electric Power Corp   1,252 
 1,492  *  Korea Express Co Ltd   225 
 4,055  *  Korea Gas Corp   233 
 6,811     Korea Investment Holdings Co Ltd   514 
 2,889     Korea Kumho Petrochemical   302 
 41,724     Korea Life Insurance Co Ltd   198 
 1,482     Korea Zinc Co Ltd   513 
 6,857     Korean Air Lines Co Ltd   174 
 132     KT Corp   3 
 19,572     KT&G Corp   1,881 
 7,765     LG Chem Ltd   2,324 
 1,361     LG Chem Ltd (Preference)   246 
 15,632     LG Corp   1,011 
 112,669     LG Electronics, Inc   8,389 
 1,594     LG Household & Health Care Ltd   1,997 
 357     LG Household & Health Care Ltd (Preference)   234 
 2,335     LG Innotek Co Ltd   303 
 38,592     LG.Philips LCD Co Ltd   633 
 4,902  *  Lotte Corp   252 
 1,719     Lotte Shopping Co Ltd   324 
 696     Medy-Tox, Inc   479 
 4,710     Naver Corp   3,223 
 2,948     NCsoft   981 
 4,375  g  Netmarble Corp   599 
 68,951     OCI Co Ltd   6,379 
 3,523     Orion Corp/Republic of Korea   470 
 198     Ottogi Corp   153 
 4,836     Pacific Corp   536 
 723  *  Pearl Abyss Corp   146 
 13,288     POSCO   3,921 
 2,752     S1 Corp (Korea)   239 
 2,728  *,g  Samsung Biologics Co Ltd   1,021 
 3,973     Samsung Card Co   137 
 88,919     Samsung Electro-Mechanics Co Ltd   11,839 
 935,846     Samsung Electronics Co Ltd   39,202 
 145,237     Samsung Electronics Co Ltd (Preference)   4,904 
 23,257  *  Samsung Engineering Co Ltd   326 
223

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 5,104     Samsung Fire & Marine Insurance Co Ltd  $1,209 
 64,094  *  Samsung Heavy Industries Co Ltd   410 
 11,503     Samsung Life Insurance Co Ltd   1,015 
 68,913     Samsung SDI Co Ltd   13,218 
 5,716     Samsung SDS Co Ltd   1,026 
 11,281     Samsung Securities Co Ltd   352 
 701  *  Samsung Techwin Co Ltd   15 
 71,599     Shinhan Financial Group Co Ltd   2,772 
 1,145     Shinsegae Co Ltd   412 
 8,956  *  SillaJen, Inc   588 
 44,286     SK C&C Co Ltd   10,283 
 11,888     SK Energy Co Ltd   2,153 
 2,421     SK Networks Co Ltd   10 
 3,341     SK Telecom Co Ltd   698 
 9,157     S-Oil Corp   899 
 34,865  *  STX Pan Ocean Co Ltd   153 
 2,003  *  ViroMed Co Ltd   423 
 8,852     Woongjin Coway Co Ltd   688 
 78,456     Woori Bank   1,144 
 22,364     Woori Investment & Securities Co Ltd   300 
 1,418     Yuhan Corp   277 
       TOTAL KOREA, REPUBLIC OF   215,665 
               
LUXEMBOURG - 0.1%
 858,261     ArcelorMittal   25,040 
 485  e  Eurofins Scientific   269 
 2,881  e  Millicom International Cellular S.A.   169 
 21,946  *  Reinet Investments S.C.A   387 
 1,688     RTL Group   114 
 15,459     SES Global S.A.   283 
 20,828     Tenaris S.A.   380 
       TOTAL LUXEMBOURG   26,642 
               
MACAU - 0.1%
 36,592     MGM China Holdings Ltd   85 
 103,933     Sands China Ltd   554 
 3,587,783     Wynn Macau Ltd   11,497 
       TOTAL MACAU   12,136 
               
MALAYSIA - 0.1%
 208,100     AirAsia BHD   154 
 136,600     Alliance Financial Group BHD   137 
 194,600     AMMB Holdings BHD   180 
 190,200     Astro Malaysia Holdings BHD   75 
 25,200     British American Tobacco Malaysia BHD   217 
 777,000     Bumiputra-Commerce Holdings BHD   1,048 
 615,700     Dialog Group BHD   470 
 502,800     Digi.Com BHD   517 
 195,200     Felda Global Ventures Holdings BHD   73 
 18,300     Fraser & Neave Holdings BHD   177 
 306,800     Gamuda BHD   248 
 348,700     Genting BHD   725 
 34,800     Genting Plantations BHD   81 
224

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 81,600     HAP Seng Consolidated BHD  $198 
 193,600     Hartalega Holdings BHD   287 
 103,600     Hong Leong Bank BHD   467 
 23,800     Hong Leong Credit BHD   106 
 419,900     IHH Healthcare BHD   635 
 349,100     IJM Corp BHD   155 
 365,800     IOI Corp BHD   412 
 234,100     IOI Properties Group Sdn BHD   93 
 85,100     Kuala Lumpur Kepong BHD   509 
 687,300     Malayan Banking BHD   1,531 
 132,300     Malaysia Airports Holdings BHD   288 
 343,800     Maxis BHD   465 
 224,000     MISC BHD   328 
 238,900     My EG Services BHD   57 
 9,300     Nestle Malaysia BHD   339 
 452,000     Petronas Chemicals Group BHD   941 
 60,400     Petronas Dagangan BHD   371 
 122,100     Petronas Gas BHD   522 
 82,600     PPB Group BHD   402 
 202,900     Press Metal BHD   219 
 508,200     Public Bank BHD   2,940 
 487,100     Resorts World BHD   588 
 126,500     RHB Capital BHD   171 
 77,200  *  Sapurakencana Petroleum BHD   12 
 346,100     Sime Darby BHD   210 
 391,200     Sime Darby Plantation BHD   515 
 409,200     Sime Darby Property BHD   121 
 174,100     SP Setia BHD   134 
 175,400     Telekom Malaysia BHD   135 
 547,100     Tenaga Nasional BHD   1,983 
 438,800     TM International BHD   413 
 104,600     Top Glove Corp BHD   314 
 54,700     UMW Holdings BHD   81 
 153,400     Westports Holdings BHD   129 
 6  *  YNH Property BHD    0^
 602,400     YTL Corp BHD   169 
       TOTAL MALAYSIA   20,342 
               
MEXICO - 0.1%
 469,100     Alfa S.A. de C.V. (Class A)   546 
 72,900     Alsea SAB de C.V.   251 
 5,700,500     America Movil S.A. de C.V. (Series L)   4,756 
 293,785     Banco Santander Mexico S.A. Institucion de Banca Multiple Grupo Financiero Santand   397 
 2,471,000  *  Cemex S.A. de C.V.   1,625 
 91,000     Coca-Cola Femsa S.A. de C.V.   515 
 30,100  e  El Puerto de Liverpool SAB de C.V.   193 
 69,600     Embotelladoras Arca SAB de C.V.   428 
 528,000     Fibra Uno Administracion S.A. de C.V.   767 
 334,400     Fomento Economico Mexicano S.A. de C.V.   2,946 
 9,020     Fresnillo plc   136 
 18,300     Gentera SAB de C.V.   16 
 36,795     Gruma SAB de C.V.   450 
225

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 59,800     Grupo Aeroportuario del Pacifico S.A. de C.V. (B Shares)  $554 
 34,225     Grupo Aeroportuario del Sureste S.A. de C.V. (Class B)   544 
 269,400     Grupo Bimbo S.A. de C.V. (Series A)   525 
 51,000     Grupo Carso S.A. de C.V. (Series A1)   172 
 429,200     Grupo Financiero Banorte S.A. de C.V.   2,530 
 365,300     Grupo Financiero Inbursa S.A.   511 
 10,900  e  Grupo Lala SAB de C.V.   11 
 600,000     Grupo Mexico S.A. de C.V. (Series B)   1,704 
 407,200     Grupo Televisa S.A.   1,546 
 28,830     Industrias Penoles S.A. de C.V.   517 
 82,100     Infraestructura Energetica ,NV SAB de C.V.   366 
 246,200  e  Kimberly-Clark de Mexico S.A. de C.V. (Class A)   416 
 161,200     Mexichem SAB de C.V.   466 
 36,870     Promotora y Operadora de Infraestructura SAB de C.V.   329 
 1,859,700  *  Wal-Mart de Mexico SAB de C.V.   4,903 
       TOTAL MEXICO   28,120 
               
MONGOLIA - 0.0%
 42,145  *  Turquoise Hill Resources Ltd   119 
       TOTAL MONGOLIA   119 
               
NETHERLANDS - 2.1%
 1,415,785  g  ABN AMRO Group NV (ADR)   36,615 
 5,608  *,g  Adyen NV   3,089 
 75,955     Aegon NV   453 
 55,774     Akzo Nobel NV   4,757 
 362,217     ASML Holding NV   71,677 
 280,439     ASR Nederland NV   11,420 
 7,657     DSM NV   766 
 4,058     Eurocommercial Properties NV   172 
 304,728  g  Euronext NV   19,310 
 212,654     EXOR NV   14,230 
 4,933     Heineken Holding NV   472 
 85,047     Heineken NV   8,521 
 7,523,555     ING Groep NV   107,997 
 8,117  *  InterXion Holding NV   507 
 165,757     Koninklijke Ahold Delhaize NV   3,958 
 838,281     Koninklijke KPN NV   2,279 
 541,168     Koninklijke Philips Electronics NV   22,928 
 3,089     Koninklijke Vopak NV   142 
 12,787     NN Group NV   519 
 14,638  *  NXP Semiconductors NV   1,599 
 5,139     Randstad Holdings NV   302 
 3,115,357     Royal Dutch Shell plc (A Shares)   107,819 
 160,161     Royal Dutch Shell plc (B Shares)   5,736 
 3,479  e  Wereldhave NV   137 
 334,351     Wolters Kluwer NV   18,783 
       TOTAL NETHERLANDS   444,188 
               
NEW ZEALAND - 0.1%
 31,744  *  a2 Milk Co Ltd   246 
 6,220,216     Air New Zealand Ltd   13,366 
226

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 41,204     Auckland International Airport Ltd  $189 
 24,719     Fisher & Paykel Healthcare Corp   249 
 46,838     Fletcher Building Ltd   220 
 92,739     Kiwi Property Group Ltd   84 
 55,395     Meridian Energy Ltd   117 
 17,328     Ryman Healthcare Ltd   140 
 74,451     Telecom Corp of New Zealand Ltd   188 
       TOTAL NEW ZEALAND   14,799 
               
NORWAY - 0.6%
 926,836     Aker BP ASA   34,092 
 902,726     DNB NOR Holding ASA   17,579 
 7,848     Gjensidige Forsikring BA   128 
 58,793     Norsk Hydro ASA   351 
 35,444     Orkla ASA   310 
 16,884  e  PAN Fish ASA   336 
 4,273     Schibsted ASA (B Shares)   121 
 2,328,696     Statoil ASA   61,577 
 32,293     Telenor ASA   661 
 281,200     TGS Nopec Geophysical Co ASA   10,327 
 65,824     Yara International ASA   2,723 
       TOTAL NORWAY   128,205 
               
PAKISTAN - 0.0%
 85,700     Habib Bank Ltd   117 
 20,700     Lucky Cement Ltd   87 
 51,700     MCB Bank Ltd   84 
 157,300     Oil & Gas Development Co Ltd   202 
 66,000     United Bank Ltd   92 
       TOTAL PAKISTAN   582 
               
PERU - 0.0%
 39,100     Cia de Minas Buenaventura S.A. (ADR) (Series B)   533 
 11,100     Credicorp Ltd (NY)   2,499 
 12,737     Southern Copper Corp (NY)   597 
       TOTAL PERU   3,629 
               
PHILIPPINES - 0.1%
 286,890     Aboitiz Equity Ventures, Inc   293 
 209,200     Aboitiz Power Corp   136 
 587,300  *  Alliance Global Group, Inc   128 
 43,640     Ayala Corp   752 
 1,282,500     Ayala Land, Inc   911 
 333,980     Banco de Oro Universal Bank   785 
 156,560     Bank of the Philippine Islands   260 
 587,000     DMCI Holdings, Inc   116 
 3,990     Globe Telecom, Inc   115 
 13,205     GT Capital Holdings, Inc   225 
 72,780     International Container Term Services, Inc   105 
 450,110     JG Summit Holdings (Series B)   422 
 68,530     Jollibee Foods Corp   338 
 37,740     Manila Electric Co   251 
 1,340,283     Megaworld Corp   108 
227

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 2,009,200     Metro Pacific Investments Corp  $173 
 154,926     Metropolitan Bank & Trust   213 
 13,190     PLDT, Inc   316 
 307,100     Robinsons Land Corp   107 
 5,471,450     Robinsons Retail Holdings, Inc   8,151 
 40,570     Security Bank Corp   152 
 41,350     SM Investments Corp   678 
 1,707,200     SM Prime Holdings   1,150 
 156,100     Universal Robina   353 
       TOTAL PHILIPPINES   16,238 
               
POLAND - 0.0%
 14,273  *  Alior Bank S.A.   253 
 2,635     Bank Handlowy w Warszawie S.A.   50 
 83,597  *  Bank Millennium S.A.   179 
 28,469     Bank Pekao S.A.   857 
 5,535     Bank Zachodni WBK S.A.   490 
 1,938     BRE Bank S.A.   206 
 4,117     CCC S.A.   227 
 10,734  *  CD Projekt Red S.A.   460 
 31,778     Cyfrowy Polsat S.A.   196 
 6,496  *,g  Dino Polska S.A.   179 
 23,670     Grupa Lotos S.A.   359 
 8,945  *  Jastrzebska Spolka Weglowa S.A.   182 
 21,349     KGHM Polska Miedz S.A.   500 
 215     LPP S.A.   485 
 5,574  g  PLAY Communications S.A.   38 
 389,912     Polish Oil & Gas Co   594 
 130,865  *  Polska Grupa Energetyczna S.A.   325 
 57,561     Polski Koncern Naftowy Orlen S.A.   1,289 
 154,137  *  Powszechna Kasa Oszczednosci Bank Polski S.A.   1,514 
 99,258     Powszechny Zaklad Ubezpieczen S.A.   1,029 
 14,385  *  Tauron Polska Energia S.A.   9 
 81,110  *  Telekomunikacja Polska S.A.   100 
 5,818     Zaklady Azotowe w Tarnowie-Moscicach S.A.   67 
       TOTAL POLAND   9,588 
               
PORTUGAL - 0.1%
 106,839     Energias de Portugal S.A.   423 
 20,404     Galp Energia SGPS S.A.   388 
 801,816     Jeronimo Martins SGPS S.A.   11,550 
       TOTAL PORTUGAL   12,361 
               
QATAR - 0.0%
 13,092  *  Barwa Real Estate Co   123 
 24,397  *  Commercial Bank of Qatar QSC   255 
 21,431  *  Doha Bank QSC   157 
 113,262  *  Ezdan Holding Group QSC   256 
 26,155  *  Industries Qatar QSC   769 
 52,079  *  Masraf Al Rayan   500 
 11,541  *  Ooredoo QSC   230 
 6,519  *  Qatar Electricity & Water Co   337 
 22,070  *  Qatar Insurance Co SAQ   216 
228

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 16,451  *  Qatar Islamic Bank SAQ  $524 
 64,259  *  Qatar National Bank   2,684 
       TOTAL QATAR   6,051 
               
ROMANIA - 0.0%
 62,544     NEPI Rockcastle plc   558 
       TOTAL ROMANIA   558 
               
RUSSIA - 0.2%
 22,383  m  Acron JSC (GDR)   155 
 13,610  *  AFK Sistema (GDR)   37 
 71,808     Federal Grid Co Unified Energy System JSC (GDR)   107 
 946,152     Gazprom (ADR)   4,173 
 5,849     Gazpromneft OAO (ADR)   149 
 24,953     LSR Group (GDR)   67 
 74,104     LUKOIL PJSC (ADR)   5,108 
 54,551  *  Magnit PJSC (GDR)   982 
 7,955  *  MegaFon PJSC (GDR)   70 
 110,498     MMC Norilsk Nickel PJSC (ADR)   1,992 
 76,600     Mobile TeleSystems (ADR)   676 
 32,528  m  Mosenergo PJSC (ADR)   61 
 16,387  *  Novatek PJSC (GDR)   2,430 
 5,769  *  Novolipetsk Steel PJSC (GDR)   141 
 21,210  *  PhosAgro PJSC (GDR)   273 
 4,295     Polyus PJSC (GDR)   141 
 226,730  *  Rosneft Oil Co PJSC (GDR)   1,410 
 24,519     Rostelecom (ADR)   174 
 231,041     RusHydro PJSC (ADR)   241 
 75,224     Sberbank of Russia (ADR)   1,080 
 1,396,099     Sberbank of Russian Federation (ADR)   19,970 
 39,354  *  Severstal (GDR)   576 
 289,069     Surgutneftegaz (ADR) (London)   1,292 
 43,215     Tatneft PAO (ADR)   2,717 
 1,354  *  Tatneft PJSC (ADR)   87 
 13,071  *  TMK PJSC (GDR)   65 
 288,536     VTB Bank OJSC (GDR)   439 
 14,678     X 5 Retail Group NV (GDR)   388 
       TOTAL RUSSIA   45,001 
               
SINGAPORE - 0.1%
 308,345     Ascendas REIT   597 
 26,300  g  BOC Aviation Ltd   163 
 304,546     CapitaCommercial Trust   371 
 315,846     CapitaLand Ltd   731 
 108,817     CapitaMall Trust   166 
 58,700     City Developments Ltd   470 
 90,848     ComfortDelgro Corp Ltd   156 
 251,930     DBS Group Holdings Ltd   4,899 
 270,592     Genting Singapore Ltd   242 
 290,765  e  Golden Agri-Resources Ltd   65 
 4,166     Jardine Cycle & Carriage Ltd   97 
 64,068     Keppel Corp Ltd   335 
 56  e  Keppel Infrastructure Trust    0^
229

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 50     K-REIT Asia  $0^
 521,559     Oversea-Chinese Banking Corp   4,443 
 43,348     SembCorp Industries Ltd   87 
 85     SembCorp Marine Ltd    0^
 21,684     Singapore Airlines Ltd   170 
 29,300     Singapore Airport Terminal Services Ltd   107 
 313,843     Singapore Exchange Ltd   1,649 
 71,025  e  Singapore Press Holdings Ltd   136 
 67,407     Singapore Technologies Engineering Ltd   163 
 1,062,791     Singapore Telecommunications Ltd   2,400 
 56     StarHub Ltd    0^
 305,200     Suntec Real Estate Investment Trust   387 
 227,643     United Overseas Bank Ltd   4,462 
 69,331     UOL Group Ltd   387 
 579,500     Venture Corp Ltd   7,571 
 79,462  e  Wilmar International Ltd   178 
       TOTAL SINGAPORE   30,432 
               
SOUTH AFRICA - 0.4%
 11,860     Anglo American Platinum Ltd   309 
 44,993  e  Anglo American plc (London)   999 
 76,653     AngloGold Ashanti Ltd   628 
 64,882     Aspen Pharmacare Holdings Ltd   1,218 
 295,281  *  Barclays Africa Group Ltd   3,429 
 56,006     Bid Corp Ltd   1,121 
 54,899     Bidvest Group Ltd   786 
 6,854  *,e  Brait S.A.   21 
 6,820     Capitec Bank Holdings Ltd   430 
 38,862     Clicks Group Ltd   555 
 36,696     Coronation Fund Managers Ltd   156 
 57,714     Discovery Holdings Ltd   619 
 53,491     Exxaro Resources Ltd   488 
 576,609     FirstRand Ltd   2,679 
 123,593     Fortress REIT Ltd   136 
 146,959     Fortress REIT Ltd (Class A)   165 
 36,597     Foschini Ltd   463 
 154,062     Gold Fields Ltd   545 
 487,712     Growthpoint Properties Ltd   949 
 39,234     Hyprop Investments Ltd   293 
 25,873     Imperial Holdings Ltd   369 
 44,144     Investec Ltd   309 
 27,432     Investec plc   194 
 10,261  e  Kumba Iron Ore Ltd   220 
 17,186     Liberty Holdings Ltd   146 
 217,814  e  Life Healthcare Group Holdings Pte Ltd   395 
 14,523  e  Mediclinic International plc   101 
 143,232     Metropolitan Holdings Ltd   185 
 19,978     Mondi Ltd   541 
 43,149  e  Mr Price Group Ltd   708 
 285,662     MTN Group Ltd   2,247 
 163,816     Naspers Ltd (N Shares)   41,305 
 36,332     Nedbank Group Ltd   660 
 189,241  e  Network Healthcare Holdings Ltd   379 
230

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 60,859     Pick’n Pay Stores Ltd  $332 
 21,312     Pioneer Foods Ltd   174 
 26,062     PSG Group Ltd   410 
 101,573     Rand Merchant Investment Holdings Ltd   276 
 841,499     Redefine Properties Ltd   643 
 89,165     Remgro Ltd   1,325 
 43,473     Resilient REIT Ltd   178 
 115,805     RMB Holdings Ltd   637 
 289,300     Sanlam Ltd   1,470 
 87,909     Sappi Ltd   585 
 93,734     Sasol Ltd   3,409 
 73,907     Shoprite Holdings Ltd   1,185 
 39,898  *,e  Sibanye Gold Ltd   24 
 31,212     Spar Group Ltd   422 
 221,103     Standard Bank Group Ltd   3,087 
 36,261  e  Telkom S.A. Ltd   129 
 27,390  e  Tiger Brands Ltd   662 
 72,402     Truworths International Ltd   405 
 99,350  e  Vodacom Group Pty Ltd   889 
 166,139     Woolworths Holdings Ltd   670 
       TOTAL SOUTH AFRICA   80,660 
               
SPAIN - 0.6%
 10,445     ACS Actividades Construccion y Servicios S.A.   421 
 2,802  g  Aena S.A.   507 
 472,965     Amadeus IT Holding S.A.   37,190 
 285,569     Banco Bilbao Vizcaya Argentaria S.A.   2,014 
 227,656     Banco de Sabadell S.A.   380 
 2,114,697     Banco Santander S.A.   11,302 
 50,279     Bankia S.A.   188 
 29,395     Bankinter S.A.   285 
 4,549,303     CaixaBank S.A.   19,581 
 48,105     Corp Mapfre S.A.   145 
 9,733     Enagas   284 
 193,430  e  Endesa S.A.   4,254 
 21,288     Ferrovial S.A.   436 
 47,722  *  Gas Natural SDG S.A.   1,262 
 65,319  e  Grifols S.A.   1,958 
 8,117     Hispania Activos Inmobiliarios SAU   172 
 1,284,094     Iberdrola S.A.   9,903 
 448,298     Industria De Diseno Textil S.A.   15,266 
 17,395     Inmobiliaria Colonial S.A.   192 
 8,117     Lar Espana Real Estate Socimi S.A.   91 
 108,528  *,†,e,m  Let’s GOWEX S.A.   6 
 101,035  *  Masmovil Ibercom S.A.   11,712 
 28,991     Merlin Properties Socimi S.A.   421 
 52,482  e  Red Electrica Corp S.A.   1,066 
 55,309     Repsol YPF S.A.   1,080 
 10,201  e  Siemens Gamesa Renewable Energy   136 
 760,903     Telefonica S.A.   6,458 
       TOTAL SPAIN   126,710 
231

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
SWEDEN - 0.5%
 12,846     Alfa Laval AB  $303 
 657,796     Assa Abloy AB   13,953 
 28,683     Atlas Copco AB (A Shares)   831 
 131,349     Atlas Copco AB (B-Shares)   3,422 
 1,700  e  Autoliv, Inc   243 
 385,571     Boliden AB   12,444 
 11,596     Castellum AB   187 
 10,362     Electrolux AB (Series B)   235 
 28,683  *  Epiroc AB   301 
 131,349  *  Epiroc AB   1,202 
 129,974     Ericsson (LM) (B Shares)   1,001 
 25,679     Essity AB   632 
 27,832     Fabege AB   331 
 25,512  *  Fastighets AB Balder   664 
 39,421  e  Hennes & Mauritz AB (B Shares)   587 
 370,385     Hexagon AB (B Shares)   20,581 
 17,844     Husqvarna AB (B Shares)   169 
 3,453  e  ICA Gruppen AB   106 
 7,447     Industrivarden AB   144 
 467,783  e  Intrum Justitia AB   10,811 
 10,003     Investment AB Kinnevik (B Shares)   341 
 19,420     Investor AB (B Shares)   787 
 23,193     Kungsleden AB   160 
 3,259     Lundbergs AB (B Shares)   100 
 7,618     Lundin Petroleum AB   242 
 129,923     Nordea Bank AB   1,246 
 48,308     Sandvik AB   853 
 13,582  *  SAS AB   26 
 13,163     Securitas AB (B Shares)   216 
 347,085     Skandinaviska Enskilda Banken AB (Class A)   3,285 
 14,796     Skanska AB (B Shares)   268 
 16,143     SKF AB (B Shares)   299 
 64,678     Svenska Handelsbanken AB   716 
 198,695     Swedbank AB (A Shares)   4,233 
 251,370     Swedish Match AB   12,423 
 15,524     Tele2 AB (B Shares)   182 
 119,038     TeliaSonera AB   542 
 66,517     Volvo AB (B Shares)   1,057 
       TOTAL SWEDEN   95,123 
               
SWITZERLAND - 2.4%
 296,643     ABB Ltd   6,471 
 7,168     Adecco S.A.   423 
 100,560     Baloise Holding AG.   14,587 
 95     Barry Callebaut AG.   170 
 401,272     Cie Financiere Richemont S.A.   33,921 
 9,388     Clariant AG.   225 
 8,253     Coca-Cola HBC AG.   275 
 3,341,148     Credit Suisse Group   49,960 
 1,451     Dufry Group   184 
 355     EMS-Chemie Holding AG.   227 
 10,258     Ferguson plc   830 
 68,128     Flughafen Zuerich AG.   13,862 
232

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,618     Geberit AG.  $693 
 15,140     Georg Fischer AG.   19,333 
 395     Givaudan S.A.   895 
 3,444,546     Glencore Xstrata plc   16,354 
 20,541     Holcim Ltd   999 
 9,555     Julius Baer Group Ltd   560 
 756,986     Julius Baer Holding AG.   10,409 
 2,228     Kuehne & Nagel International AG.   334 
 44     Lindt & Spruengli AG.   285 
 4     Lindt & Spruengli AG. (Registered)   304 
 471,276     Lonza Group AG.   124,533 
 492,972     Nestle S.A.   38,206 
 1,431,453     Novartis AG.   108,434 
 1,652     Pargesa Holding S.A.   140 
 741     Partners Group   542 
 2,327     Phonak Holding AG.   416 
 4,058     PSP Swiss Property AG.   376 
 69,551     Roche Holding AG.   15,430 
 1,817     Schindler Holding AG.   390 
 878     Schindler Holding AG. (Registered)   184 
 235     SGS S.A.   624 
 5,565     Sika AG.   769 
 27,996     STMicroelectronics NV   622 
 434     Straumann Holding AG.   329 
 1,331     Swatch Group AG.   630 
 2,317     Swatch Group AG. (Registered)   200 
 1,453     Swiss Life Holding   504 
 7,107     Swiss Prime Site AG.   653 
 13,533     Swiss Re Ltd   1,182 
 1,109     Swisscom AG.   495 
 2,578     Temenos Group AG.   388 
 271,497     UBS AG.   4,162 
 25,169     Vifor Pharma AG.   4,015 
 80,682     Zurich Financial Services AG.   23,860 
       TOTAL SWITZERLAND   498,385 
               
TAIWAN - 1.0%
 451,000     Acer, Inc   368 
 62,000     Advantech Co Ltd   408 
 17,000     Airtac International Group   241 
 525,000     ASE Industrial Holding Co Ltd   1,233 
 360,000     Asia Cement Corp   395 
 118,000     Asustek Computer, Inc   1,077 
 1,346,000     AU Optronics Corp   570 
 111,000     Catcher Technology Co Ltd   1,239 
 1,406,000     Cathay Financial Holding Co Ltd   2,477 
 190,000     Chailease Holding Co Ltd   621 
 800,000     Chang Hwa Commercial Bank   464 
 320,000     Cheng Shin Rubber Industry Co Ltd   481 
 75,000     Chicony Electronics Co Ltd   169 
 368,000  *  China Airlines   115 
 2,167,000     China Development Financial Holding Corp   791 
 388,000     China Life Insurance Co Ltd (Taiwan)   408 
233

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 2,245,000     China Steel Corp  $1,744 
 21,337,000     Chinatrust Financial Holding Co   15,331 
 665,000     Chunghwa Telecom Co Ltd   2,397 
 625,000     Compal Electronics, Inc   393 
 665,000     Dadi Early-Childhood Education Group Ltd   5,273 
 353,000     Delta Electronics, Inc   1,265 
 1,599,000     E.Sun Financial Holding Co Ltd   1,113 
 33,000     Eclat Textile Co Ltd   392 
 238,000     Eva Airways Corp   115 
 285,000  *  Evergreen Marine Corp Tawain Ltd   121 
 439,000     Far Eastern Textile Co Ltd   416 
 272,000     Far EasTone Telecommunications Co Ltd   703 
 57,000     Feng TAY Enterprise Co Ltd   286 
 1,671,000     First Financial Holding Co Ltd   1,128 
 4,249,000     Formosa Chemicals & Fibre Corp   16,908 
 254,000     Formosa Petrochemical Corp   1,019 
 758,000     Formosa Plastics Corp   2,793 
 62,000     Formosa Taffeta Co Ltd   68 
 152,000     Foxconn Technology Co Ltd   372 
 1,174,000     Fubon Financial Holding Co Ltd   1,964 
 1,633,000     Fuhwa Financial Holdings Co Ltd   744 
 24,000     General Interface Solution Holding Ltd   155 
 51,000     Giant Manufacturing Co Ltd   215 
 36,000     Globalwafers Co Ltd   596 
 103,000  *  High Tech Computer Corp   192 
 89,000     Highwealth Construction Corp   132 
 33,000     Hiwin Technologies Corp   389 
 6,374,000     Hon Hai Precision Industry Co, Ltd   17,370 
 1,535,678     Hota Industrial Manufacturing Co Ltd   7,402 
 47,000     Hotai Motor Co Ltd   414 
 1,227,000     Hua Nan Financial Holdings Co Ltd   714 
 1,544,000     InnoLux Display Corp   554 
 384,000     Inventec Co Ltd   301 
 16,000     Largan Precision Co Ltd   2,351 
 341,000     Lite-On Technology Corp   412 
 302,000  *  Macronix International   428 
 4,598,000     MediaTek, Inc   45,134 
 1,888,000     Mega Financial Holding Co Ltd   1,665 
 107,000     Micro-Star International Co Ltd   329 
 875,000     Nan Ya Plastics Corp   2,499 
 168,000     Nanya Technology Corp   456 
 398,000     Nien Made Enterprise Co Ltd   3,392 
 97,000     Novatek Microelectronics Corp Ltd   437 
 330,000     Pegatron Technology Corp   678 
 26,000     Phison Electronics Corp   205 
 327,000     Pou Chen Corp   379 
 109,000     Powertech Technology, Inc   316 
 98,000     President Chain Store Corp   1,111 
 460,000     Quanta Computer, Inc   806 
 77,000     Realtek Semiconductor Corp   280 
 114,000  *  Ruentex Development Co Ltd   132 
 87,000     Ruentex Industries Ltd   177 
 1,317,000     Shin Kong Financial Holding Co Ltd   507 
234

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,593,000     SinoPac Financial Holdings Co Ltd  $574 
 112,000     Standard Foods Corp   227 
 204,000     Synnex Technology International Corp   308 
 31,000  *  TaiMed Biologics, Inc   317 
 1,427,000     Taishin Financial Holdings Co Ltd   673 
 361,000     Taiwan Business Bank   111 
 646,000     Taiwan Cement Corp   896 
 1,390,000     Taiwan Cooperative Financial Holding   813 
 241,000     Taiwan High Speed Rail Corp   189 
 286,000     Taiwan Mobile Co Ltd   1,036 
 4,694,000     Taiwan Semiconductor Manufacturing Co Ltd   33,332 
 257,000     Teco Electric and Machinery Co Ltd   193 
 828,000     Uni-President Enterprises Corp   2,099 
 2,005,000     United Microelectronics Corp   1,123 
 147,000     Vanguard International Semiconductor Corp   336 
 48,000     Walsin Technology Corp   655 
 58,000     Win Semiconductors Corp   415 
 490,000     Winbond Electronics Corp   312 
 448,000     Wistron Corp   332 
 244,000     WPG Holdings Co Ltd   345 
 279,000     Yageo Corp   10,254 
 70,000     Zhen Ding Technology Holding Ltd   155 
       TOTAL TAIWAN   210,425 
               
THAILAND - 0.2%
 166,200     Advanced Info Service PCL (Foreign)   928 
 739,500     Airports of Thailand PCL   1,406 
 28,500     Bangkok Bank PCL (Foreign)   171 
 634,400     Bangkok Dusit Medical Services PCL (Foreign)   478 
 1,051,900     Bangkok Expressway & Metro PCL   236 
 590,900     Banpu PCL (Foreign)   348 
 176,000     Berli Jucker PCL   268 
 811,600     BTS Group Holdings PCL   216 
 57,100     Bumrungrad Hospital PCL (Foreign)   287 
 210,200     Central Pattana PCL (Foreign)   442 
 530,500     Charoen Pokphand Foods PCL   388 
 852,100     CP Seven Eleven PCL (Foreign)   1,871 
 72,300     Delta Electronics Thai PCL   128 
 14,700     Electricity Generating PCL   99 
 191,100     Energy Absolute PCL (Foreign)   189 
 63,500     Glow Energy PCL (Foreign)   182 
 561,400     Home Product Center PCL (Foreign)   227 
 242,400     Indorama Ventures PCL (Foreign)   400 
 2,410,400     IRPC PCL (Foreign)   422 
 296,200     Kasikornbank PCL (Foreign)   1,785 
 9,000     KCE Electronics PCL   10 
 522,900     Krung Thai Bank PCL (Foreign)   263 
 328,500     Land and Houses PCL Co Reg   112 
 366,000     Minor International PCL (Foreign)   359 
 266,100     PTT Exploration & Production PCL (Foreign)   1,126 
 361,200     PTT Global Chemical PCL (Foreign)   785 
 1,883,900     PTT PCL (Foreign)   2,730 
 68,600     Robinson PCL   116 
235

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 62,200     Siam Cement PCL (Foreign)  $773 
 20     Siam Commercial Bank PCL (ADR)    0^
 304,700     Siam Commercial Bank PCL (Foreign)   1,088 
 262,300     Thai Oil PCL (Foreign)   615 
 237,100     Thai Union Group PCL   113 
 5,730,300     Tisco Financial Group PCL (ADR)   14,515 
 1,439,300     TMB Bank PCL (Foreign)   100 
 1,580,000     True Corp PCL (Foreign)   252 
       TOTAL THAILAND   33,428 
               
TURKEY - 0.1%
 374,620     Akbank TAS   612 
 29,559     Anadolu Efes Biracilik Ve Malt Sanayii AS   152 
 34,233     Arcelik AS   114 
 51,599     Aselsan Elektronik Sanayi Ve Ticaret AS   259 
 36,238     BIM Birlesik Magazalar AS   529 
 11,328     Coca-Cola Icecek AS   83 
 323,363     Emlak Konut Gayrimenkul Yatiri   143 
 254,486     Eregli Demir ve Celik Fabrikalari TAS   564 
 8,301     Ford Otomotiv Sanayi AS   111 
 140,566     Haci Omer Sabanci Holding AS   270 
 124,439     KOC Holding AS   385 
 109,526     Petkim Petrokimya Holding   115 
 22,759     TAV Havalimanlari Holding AS   111 
 16,945     Tofas Turk Otomobil Fabrik   89 
 27,698     Tupras Turkiye Petrol Rafine   653 
 92,886  *  Turk Hava Yollari   274 
 55,774     Turk Sise ve Cam Fabrikalari AS   51 
 9,251  *  Turk Telekomunikasyon AS   10 
 3,583,267     Turkcell Iletisim Hizmet AS   9,499 
 400,144     Turkiye Garanti Bankasi AS   730 
 95,463     Turkiye Halk Bankasi AS   154 
 226,059     Turkiye Is Bankasi (Series C)   281 
 75,404  *  Turkiye Vakiflar Bankasi Tao   81 
 21,950  *  Ulker Biskuvi Sanayi AS   86 
 240,613  *  Yapi ve Kredi Bankasi   130 
       TOTAL TURKEY   15,486 
               
UNITED ARAB EMIRATES - 0.1%
 325,503  *  Abu Dhabi Commercial Bank PJSC   626 
 580,981     Aldar Properties PJSC   320 
 238,820  *  DAMAC Properties Dubai Co PJSC   133 
 25,858     DP World Ltd   595 
 244,708  *  Dubai Investments PJSC   126 
 264,792  *  Dubai Islamic Bank PJSC   351 
 62,106  *  Dubai Parks & Resorts PJSC   6 
 128,184  *  Emaar Development PJSC   177 
 320,981  *  Emaar Malls Group PJSC   187 
 572,158     Emaar Properties PJSC   768 
 293,365     Emirates Telecommunications Group Co PJSC   1,290 
 238,139     National Bank of Abu Dhabi PJSC   788 
 317,639  *  NMC Health plc   14,950 
       TOTAL UNITED ARAB EMIRATES   20,317 
236

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
UNITED KINGDOM - 5.6%
 41,574     3i Group plc  $492 
 95,500  *  accesso Technology Group plc   3,176 
 8,105     Admiral Group plc   204 
 1,888,181     Ashtead Group plc   56,229 
 230,102  *  ASOS plc   18,457 
 266,216     Associated British Foods plc   9,599 
 364,764     AstraZeneca plc   25,230 
 42,142  g  Auto Trader Group plc   236 
 1,013,376     Aviva plc   6,724 
 4,527,607     B&M European Value Retail S.A.   24,052 
 11,150     Babcock International Group   120 
 136,586     BAE Systems plc   1,162 
 727,739     Barclays plc   1,799 
 43,209     Barratt Developments plc   293 
 1,028,700     Beazley plc   7,927 
 344,045  *  Belmond Ltd.   3,836 
 251,518     Berkeley Group Holdings plc   12,529 
 69,580     Big Yellow Group plc   872 
 284,121  *,e  Blue Prism Group plc   6,798 
 4,861,800  *,e  boohoo.com plc   12,438 
 5,457,737     BP plc   41,525 
 1,699,959     British American Tobacco plc   85,633 
 206,380     British Land Co plc   1,826 
 279,412     Britvic plc   2,865 
 360,734     BT Group plc   1,035 
 14,362     Bunzl plc   434 
 17,780     Burberry Group plc   505 
 23,193     Capital & Counties Properties   88 
 236,299     Centrica plc   491 
 4,357,076     CNH Industrial NV   46,026 
 9,321     Coca-Cola European Partners plc (Class A)   379 
 67,449     Compass Group plc   1,438 
 56,323  g  ConvaTec Group plc   157 
 5,772     Croda International plc   365 
 3,678     DCC plc   334 
 358,800     Dechra Pharmaceuticals plc   13,131 
 894,767     Delphi Automotive plc   81,988 
 34,790     Derwent London plc   1,423 
 1,634,167     Diageo plc   58,709 
 55,973     Direct Line Insurance Group plc   253 
 6,451     easyJet plc   142 
 3,107,457     Electrocomponents plc   30,979 
 39,780     Experian Group Ltd   981 
 739,113     Fevertree Drinks plc   32,949 
 1,705,549  *  Fiat DaimlerChrysler Automobiles NV   32,174 
 888,334     GlaxoSmithKline plc   17,910 
 139,960     Great Portland Estates plc   1,319 
 66,705     Group 4 Securicor plc   235 
 23,139     GVC Holdings plc   320 
 150,449     Hammerson plc   1,034 
 11,579     Hargreaves Lansdown plc   300 
237

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 1,543,846     HSBC Holdings plc  $14,426 
 40,831     Imperial Tobacco Group plc   1,516 
 1,513,973     Inchcape plc   15,564 
 53,194     Informa plc   585 
 7,775     InterContinental Hotels Group plc   483 
 26,523     International Consolidated Airlines Group S.A.   232 
 6,645     Intertek Group plc   500 
 28,991  e  Intu Properties plc   69 
 156,763     ITV plc   358 
 73,292     J Sainsbury plc   310 
 29,062     John Wood Group plc   240 
 8,421     Johnson Matthey plc   401 
 1,426,714  *  Just Eat plc   14,630 
 94,142     Kingfisher plc   368 
 148,242     Land Securities Group plc   1,868 
 4,798,246     Legal & General Group plc   16,783 
 11,253  *  Liberty Global plc   299 
 152,250  *  Liberty Global plc (Class A)   4,193 
 3,070,964     Lloyds TSB Group plc   2,548 
 110,826     London Stock Exchange Group plc   6,524 
 6,076,781     Man Group plc   14,087 
 69,025  e  Marks & Spencer Group plc   268 
 33,431     Meggitt plc   217 
 206,857     Melrose Industries plc   579 
 30,976  g  Merlin Entertainments plc   158 
 18,619     Micro Focus International plc   323 
 604,417     Mondi plc   16,306 
 144,907     National Grid plc   1,601 
 185,145     Next plc   14,737 
 736,646  *  Old Mutual Ltd   1,492 
 33,005     Pearson plc   384 
 3,732     Pentair plc   157 
 13,040     Persimmon plc   434 
 3,472,794     Prudential plc   79,167 
 2,668,208  *,e  Purplebricks Group plc   11,452 
 100,569     Reckitt Benckiser Group plc   8,263 
 946,232     Redrow plc   6,648 
 1,000,728     Reed Elsevier NV   21,274 
 153,042     Reed Elsevier plc   3,268 
 227,462     Rightmove plc   15,900 
 70,818     Rolls-Royce Group plc   922 
 7,116,827  *,m  Rolls-Royce Holdings plc   9 
 204,797  *  Royal Bank of Scotland Group plc   689 
 37,844     Royal Mail plc   252 
 41,712     RSA Insurance Group plc   373 
 57,983     Safestore Holdings plc   419 
 47,083     Sage Group plc   389 
 5,495     Schroders plc   228 
 43,274     Scottish & Southern Energy plc   772 
 176,524     Segro plc   1,555 
 9,588     Severn Trent plc   250 
 17,395     Shaftesbury plc   215 
 746,065     Shire Ltd   42,032 
238

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 43,555     Sky plc  $839 
 38,305     Smith & Nephew plc   706 
 17,423     Smiths Group plc   389 
 23,245     St. James’s Place plc   351 
 119,616     Standard Chartered plc   1,087 
 114,191     Standard Life plc   489 
 4,042,667     Taylor Wimpey plc   9,517 
 8,944     TechnipFMC plc (Euro OTC)   284 
 19,037,766     Tesco plc   64,416 
 11,050     Travis Perkins plc   207 
 535,578     Unilever NV   29,841 
 260,376     Unilever plc   14,383 
 29,702     United Utilities Group plc   299 
 1,991,100     Vesuvius plc   15,652 
 12,456,193     Vodafone Group plc   30,173 
 9,860     Weir Group plc   259 
 203,029     Whitbread plc   10,583 
 97,431     WM Morrison Supermarkets plc   323 
 542,031  e  WPP plc   8,516 
       TOTAL UNITED KINGDOM   1,164,152 
               
UNITED STATES - 55.9%
 172,668     3M Co   33,967 
 3,454     A.O. Smith Corp   204 
 1,866,169     Abbott Laboratories   113,818 
 667,296     AbbVie, Inc   61,825 
 354,695     Abercrombie & Fitch Co (Class A)   8,683 
 850  *  Abiomed, Inc   348 
 139,214     Accenture plc   22,774 
 14,352     Activision Blizzard, Inc   1,095 
 790     Acuity Brands, Inc   92 
 9,913  *  Adobe Systems, Inc   2,417 
 1,494     Advance Auto Parts, Inc   203 
 17,146  *,e  Advanced Micro Devices, Inc   257 
 14,146     AES Corp   190 
 269,291     Aetna Inc   49,415 
 1,088     Affiliated Managers Group, Inc   162 
 15,739     Aflac, Inc   677 
 172,225     AGCO Corp   10,458 
 103,540     Agilent Technologies, Inc   6,403 
 7,559     AGNC Investment Corp   141 
 11,596     Agree Realty Corp   612 
 168,277     Air Products & Chemicals, Inc   26,206 
 3,376  *  Akamai Technologies, Inc   247 
 2,141     Albemarle Corp   202 
 15,962     Alexandria Real Estate Equities, Inc   2,014 
 461,923  *  Alexion Pharmaceuticals, Inc   57,348 
 7,291  *  Align Technology, Inc   2,495 
 3,049  *  Alkermes plc   125 
 7,740     Alleghany Corp   4,450 
 1,906     Allegion plc   147 
 654,599     Allergan plc   109,135 
 1,028     Alliance Data Systems Corp   240 
239

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 145,281     Alliant Energy Corp  $6,148 
 321,719     Allison Transmission Holdings, Inc   13,026 
 177,750     Allstate Corp   16,223 
 8,772     Ally Financial, Inc   230 
 8,760  *  Alnylam Pharmaceuticals, Inc   863 
 183,939  *  Alphabet, Inc (Class A)   207,702 
 183,467  *  Alphabet, Inc (Class C)   204,685 
 220,382     Altria Group, Inc   12,515 
 244,865  *  Amazon.com, Inc   416,221 
 151,803  *  AMC Networks, Inc   9,442 
 125     Amerco, Inc   45 
 4,808     Ameren Corp   293 
 2,225     American Airlines Group, Inc   84 
 122,039     American Electric Power Co, Inc   8,451 
 489,023     American Express Co   47,924 
 133,979     American Financial Group, Inc   14,380 
 40,588     American Homes 4 Rent   900 
 1,687,998     American International Group, Inc   89,498 
 8,888     American Tower Corp   1,281 
 3,463     American Water Works Co, Inc   296 
 151,206     Ameriprise Financial, Inc   21,151 
 20,718     AmerisourceBergen Corp   1,767 
 4,544     Ametek, Inc   328 
 84,049     Amgen, Inc   15,515 
 6,204     Amphenol Corp (Class A)   541 
 577,588     Anadarko Petroleum Corp   42,308 
 7,306     Analog Devices, Inc   701 
 3,005     Andeavor   394 
 22,506     Annaly Capital Management, Inc   232 
 1,684  *  Ansys, Inc   293 
 3,494  *  Antero Resources Corp   75 
 222,762     Anthem, Inc   53,024 
 4,993     Aon plc   685 
 7,669     Apache Corp   359 
 11,596     Apartment Investment & Management Co (Class A)   491 
 2,264,885     Apple, Inc   419,253 
 598,405     Applied Materials, Inc   27,640 
 4,776     ARAMARK Holdings Corp   177 
 7,780  *  Arch Capital Group Ltd   206 
 11,293     Archer Daniels Midland Co   518 
 8,245     Arconic, Inc   140 
 37,164  *  Arista Networks, Inc   9,569 
 1,859  *  Arrow Electronics, Inc   140 
 3,692     Arthur J. Gallagher & Co   241 
 79,484  *  Asbury Automotive Group, Inc   5,449 
 54,972     Ashland Global Holdings, Inc   4,298 
 61,629     Associated Banc-Corp   1,682 
 1,059     Assurant, Inc   110 
 1,023,511     AT&T, Inc   32,865 
 175,046  *  Athene Holding Ltd   7,674 
 2,249     Atmos Energy Corp   203 
 4,290  *  Autodesk, Inc   562 
 47,206     Automatic Data Processing, Inc   6,332 
240

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 557  *  AutoZone, Inc  $374 
 10,953     AvalonBay Communities, Inc   1,883 
 1,815     Avery Dennison Corp   185 
 2,370     Avnet, Inc   102 
 444,220  *  AXA Equitable Holdings, Inc   9,155 
 509,337  *  Axalta Coating Systems Ltd   15,438 
 1,564     Axis Capital Holdings Ltd   87 
 8,478     Baker Hughes a GE Co   280 
 6,611     Ball Corp   235 
 5,643,653     Bank of America Corp   159,095 
 175,755     Bank of New York Mellon Corp   9,478 
 745,642     Baxter International, Inc   55,058 
 121,940     BB&T Corp   6,151 
 41,717     Becton Dickinson & Co   9,994 
 1,206,763     Bed Bath & Beyond, Inc   24,045 
 314,025  *  Berkshire Hathaway, Inc (Class B)   58,613 
 901,556  *  Berry Plastics Group, Inc   41,417 
 202,792     Best Buy Co, Inc   15,124 
 44,920  *  Biogen Idec, Inc   13,038 
 3,534  *  BioMarin Pharmaceutical, Inc   333 
 2,456     BlackRock, Inc   1,226 
 220,000     Blackstone Group LP   7,077 
 12,756  *  Bluebird Bio, Inc   2,002 
 383,543     Boeing Co   128,682 
 7,447  *  Booking Holdings, Inc   15,096 
 4,063     BorgWarner, Inc   175 
 26,299     Boston Properties, Inc   3,298 
 1,284,689  *  Boston Scientific Corp   42,009 
 1,859  *  Brighthouse Financial, Inc   74 
 687,351     Bristol-Myers Squibb Co   38,038 
 418,144     Broadcom, Inc   101,458 
 2,338     Broadridge Financial Solutions, Inc   269 
 5,402     Brown-Forman Corp (Class B)   265 
 109,747     Bunge Ltd   7,650 
 800,200     Burford Capital Ltd   15,737 
 71,817  *  Burlington Stores, Inc   10,811 
 6,052     CA, Inc   216 
 9,379     Cabot Oil & Gas Corp   223 
 183,569  *  CACI International, Inc (Class A)   30,941 
 298,973     Cadence BanCorp   8,631 
 5,639  *  Cadence Design Systems, Inc   244 
 18,167     Camden Property Trust   1,656 
 3,625  e  Campbell Soup Co   147 
 55,255     Capital One Financial Corp   5,078 
 6,391     Cardinal Health, Inc   312 
 3,767  *  CarMax, Inc   275 
 8,624     Carnival Corp   494 
 8,077     Carnival plc   462 
 754,736     Caterpillar, Inc   102,395 
 2,143     CBOE Holdings, Inc   223 
 6,277  *  CBRE Group, Inc   300 
 715,284     CBS Corp (Class B)   40,213 
 2,573     CDK Global, Inc   167 
241

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 515,880     CDW Corp  $41,678 
 2,750     Celanese Corp (Series A)   305 
 48,408  *  Celgene Corp   3,845 
 192,452  *  Centene Corp   23,712 
 8,778     Centerpoint Energy, Inc   243 
 19,580     CenturyLink, Inc   365 
 6,073  *  Cerner Corp   363 
 329,313     CF Industries Holdings, Inc   14,622 
 2,705     CH Robinson Worldwide, Inc   226 
 24,211     Charles Schwab Corp   1,237 
 20,535  *  Charter Communications, Inc   6,021 
 75,699     Chemed Corp   24,361 
 382,196     Chemours Co   16,954 
 23,024  *  Cheniere Energy, Inc   1,501 
 1,189,444     Chevron Corp   150,381 
 11,514  *  Chipotle Mexican Grill, Inc (Class A)   4,967 
 145,444     Chubb Ltd   18,474 
 5,097     Church & Dwight Co, Inc   271 
 226,391     Cigna Corp   38,475 
 37,094     Cimarex Energy Co   3,774 
 3,063     Cincinnati Financial Corp   205 
 1,866     Cintas Corp   345 
 4,762,591     Cisco Systems, Inc   204,934 
 2,553     CIT Group, Inc   129 
 1,069,978     Citigroup, Inc   71,603 
 627,968     Citizens Financial Group, Inc   24,428 
 2,732  *  Citrix Systems, Inc   286 
 2,586     Clorox Co   350 
 18,132     CME Group, Inc   2,972 
 5,698     CMS Energy Corp   269 
 3,605,610  n  Coca-Cola Co   158,142 
 3,474     Cognex Corp   155 
 11,861     Cognizant Technology Solutions Corp (Class A)   937 
 235,704  *  Colfax Corp   7,224 
 16,813     Colgate-Palmolive Co   1,090 
 672,048     Comcast Corp (Class A)   22,050 
 457,184     Comerica, Inc   41,567 
 3,731  *  CommScope Holding Co, Inc   109 
 682,726     ConAgra Foods, Inc   24,394 
 778,368  *  Concho Resources, Inc   107,687 
 23,862     ConocoPhillips   1,661 
 6,168     Consolidated Edison, Inc   481 
 17,387     Constellation Brands, Inc (Class A)   3,805 
 64,412  *  Continental Resources, Inc   4,171 
 5,576     Cooper Cos, Inc   1,313 
 4,223  *  Copart, Inc   239 
 17,761     Corning, Inc   489 
 691  *  CoStar Group, Inc   285 
 541,536     Costco Wholesale Corp   113,170 
 14,808     Coty, Inc   209 
 42,580  *,e  Credit Acceptance Corp   15,048 
 112,047     Crown Castle International Corp   12,081 
 862,318  *  Crown Holdings, Inc   38,597 
242

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 641,590     CSX Corp  $40,921 
 16,235     CubeSmart   523 
 3,176     Cummins, Inc   422 
 769,048     CVS Health Corp   49,488 
 125,559     Danaher Corp   12,390 
 2,363     Darden Restaurants, Inc   253 
 3,016  *  DaVita, Inc   209 
 9,277     DCT Industrial Trust, Inc   619 
 37,689     DDR Corp   675 
 117,053  *  Deckers Outdoor Corp   13,214 
 6,193     Deere & Co   866 
 117,708     Delek US Holdings, Inc   5,905 
 4,171  *  Dell Technologies, Inc-VMware Inc   353 
 3,947     Delta Air Lines, Inc   196 
 208,171     Deluxe Corp   13,783 
 4,671     Dentsply Sirona, Inc   204 
 10,622     Devon Energy Corp   467 
 275,951     Diamondback Energy, Inc   36,307 
 40,588     DiamondRock Hospitality Co   498 
 4,125     Digital Realty Trust, Inc   460 
 7,229     Discover Financial Services   509 
 2,942  *,e  Discovery, Inc (Class A)   81 
 6,001  *  Discovery, Inc (Class C)   153 
 22,118  *  DISH Network Corp (Class A)   743 
 192,612     Dollar General Corp   18,992 
 4,662  *  Dollar Tree, Inc   396 
 196,609     Dominion Resources, Inc   13,405 
 864     Domino’s Pizza, Inc   244 
 3,166     Dover Corp   232 
 1,875,741     DowDuPont, Inc   123,649 
 6,836     DR Horton, Inc   280 
 3,703  *  Dr Pepper Snapple Group, Inc   452 
 27,306     DTE Energy Co   2,830 
 13,987     Duke Energy Corp   1,106 
 245,091     Duke Realty Corp   7,115 
 51,089     Dun & Bradstreet Corp   6,266 
 1,196,834     DXC Technology Co   96,477 
 441,215  *  E*TRADE Financial Corp   26,985 
 2,916     East West Bancorp, Inc   190 
 2,896     Eastman Chemical Co   289 
 101,021     Eaton Corp   7,550 
 2,489     Eaton Vance Corp   130 
 877,827  *  eBay, Inc   31,830 
 32,694     Ecolab, Inc   4,588 
 6,500     Edison International   411 
 8,117     Education Realty Trust, Inc   337 
 414,478  *  Edwards Lifesciences Corp   60,336 
 163,521  *  Electronic Arts, Inc   23,060 
 89,554     Eli Lilly & Co   7,642 
 160,860     EMCOR Group, Inc   12,254 
 530,703     Emerson Electric Co   36,693 
 321,719     Encompass Health Corp   21,787 
 80,139     Entergy Corp   6,474 
243

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,218,738     EOG Resources, Inc  $151,647 
 5,192     EQT Corp   286 
 2,390     Equifax, Inc   299 
 3,889     Equinix, Inc   1,672 
 19,714     Equity Lifestyle Properties, Inc   1,812 
 43,352     Equity Residential   2,761 
 10,589     Essex Property Trust, Inc   2,532 
 199,860     Estee Lauder Cos (Class A)   28,518 
 826     Everest Re Group Ltd   190 
 5,465     Evergy, Inc   307 
 6,390     Eversource Energy   375 
 88,850     Exelon Corp   3,785 
 120,926     Expedia, Inc   14,534 
 3,744     Expeditors International of Washington, Inc   274 
 46,287  *  Express Scripts Holding Co   3,574 
 14,116     Extra Space Storage, Inc   1,409 
 1,765,097  d  Exxon Mobil Corp   146,026 
 1,296  *  F5 Networks, Inc   223 
 1,181,150  *  Facebook, Inc   229,521 
 5,816     Fastenal Co   280 
 10,695     Federal Realty Investment Trust   1,353 
 380,757     FedEx Corp   86,455 
 6,708     Fidelity National Information Services, Inc   711 
 40,869     Fifth Third Bancorp   1,173 
 170,702  *  First American Corp   8,859 
 9,011  *  First Data Corp   189 
 3,088     First Republic Bank   299 
 685,410     FirstEnergy Corp   24,613 
 8,347  *  Fiserv, Inc   618 
 1,821  *  FleetCor Technologies, Inc   384 
 11,851  *  Flextronics International Ltd   167 
 2,754     Flir Systems, Inc   143 
 2,399     Flowserve Corp   97 
 2,677     Fluor Corp   131 
 2,574     FMC Corp   230 
 5,570     FNF Group   210 
 74,801     Ford Motor Co   828 
 145,057  *  Fortinet, Inc   9,056 
 203,380     Fortive Corp   15,683 
 3,279     Fortune Brands Home & Security, Inc   176 
 34,790     Four Corners Property Trust, Inc   857 
 6,746     Franklin Resources, Inc   216 
 3,344,680     Freeport-McMoRan Copper & Gold, Inc (Class B)   57,729 
 348,286     Gaming and Leisure Properties, Inc   12,469 
 4,407     Gap, Inc   143 
 2,390     Garmin Ltd   146 
 1,697  *  Gartner, Inc   226 
 83,050     General Dynamics Corp   15,481 
 549,122     General Electric Co   7,474 
 11,760     General Mills, Inc   521 
 18,106,794  *,†,m  General Motors Co   0 
 13,592,224  *,†,m  General Motors Co   0 
 29,845,445  *,†,m  General Motors Co   0 
244

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 26,439,985  *,†,m  General Motors Co  $0 
 19,417,463  *,†,m  General Motors Co   0 
 4,461,000  *,†,m  General Motors Co   0 
 18,159,000  *,†,m  General Motors Co   0 
 175,429     General Motors Co   6,912 
 69,850,000  *,†,m  General Motors Co   0 
 61,921,000  *,†,e,m  General Motors Co   0 
 530,757  *,†,m  General Motors Co   0 
 487,720     Gentex Corp   11,227 
 2,981     Genuine Parts Co   274 
 59,927     GGP, Inc   1,224 
 303,614     Gilead Sciences, Inc   21,508 
 3,061     Global Payments, Inc   341 
 69,015  *  GoDaddy, Inc   4,872 
 673,615     Goldman Sachs Group, Inc   148,579 
 4,687     Goodyear Tire & Rubber Co   109 
 89,009  *  Green Dot Corp   6,532 
 290,551  *  GreenSky, Inc   6,145 
 53,055  *  GrubHub, Inc   5,566 
 114,235  *  Guidewire Software, Inc   10,142 
 3,801     H&R Block, Inc   87 
 103,009     Halliburton Co   4,642 
 7,282  e  Hanesbrands, Inc   160 
 3,418     Harley-Davidson, Inc   144 
 2,402     Harris Corp   347 
 7,340     Hartford Financial Services Group, Inc   375 
 2,242     Hasbro, Inc   207 
 237,955     HCA Holdings, Inc   24,414 
 61,562     HCP, Inc   1,590 
 576,395  *  HD Supply Holdings, Inc   24,722 
 17,395     Healthcare Trust of America, Inc   469 
 2,344     Helmerich & Payne, Inc   149 
 3,204  *  Henry Schein, Inc   233 
 2,805     Hershey Co   261 
 5,846     Hess Corp   391 
 733,395     Hewlett Packard Enterprise Co   10,715 
 129,006     Hilltop Holdings, Inc   2,847 
 369,031  *  Hilton Grand Vacations, Inc   12,805 
 5,767     Hilton Worldwide Holdings, Inc   457 
 3,406     HollyFrontier Corp   233 
 23,524  *  Hologic, Inc   935 
 715,699     Home Depot, Inc   139,633 
 761,595     Honeywell International, Inc   109,708 
 5,979  e  Hormel Foods Corp   222 
 79,278     Host Marriott Corp   1,670 
 797,451     HP, Inc   18,094 
 40,588     Hudson Pacific Properties   1,438 
 89,154     Humana, Inc   26,535 
 2,670,663     Huntington Bancshares, Inc   39,419 
 60,703     Huntington Ingalls   13,160 
 408,344     Huntsman Corp   11,924 
 32,512  *  IAC/InterActiveCorp   4,958 
 1,543     IDEX Corp   211 
245

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,713  *  Idexx Laboratories, Inc  $373 
 7,769  *  IHS Markit Ltd   401 
 6,233     Illinois Tool Works, Inc   864 
 59,788  *  Illumina, Inc   16,698 
 119,452  *  Imax Corp   2,646 
 3,491  *  Incyte Corp   234 
 255,596     Ingersoll-Rand plc   22,935 
 1,390     Ingredion, Inc   154 
 3,262,787     Intel Corp   162,193 
 35,969     IntercontinentalExchange Group, Inc   2,646 
 79,484     InterDigital, Inc   6,430 
 18,566     International Business Machines Corp   2,594 
 1,588     International Flavors & Fragrances, Inc   197 
 21,697     International Paper Co   1,130 
 150,835     Interpublic Group of Cos, Inc   3,536 
 29,912     Intuit, Inc   6,111 
 20,555  *  Intuitive Surgical, Inc   9,835 
 8,645     Invesco Ltd   230 
 75,691     Invitation Homes, Inc   1,745 
 760  *  IPG Photonics Corp   168 
 3,129  *  IQVIA Holdings, Inc   312 
 5,447     Iron Mountain, Inc   191 
 34,790  e  iShares Dow Jones US Real Estate Index Fund   2,803 
 289,486  e  iShares MSCI Canada Index Fund   8,253 
 66,626  e  iShares MSCI South Korea Index Fund   4,511 
 83,000     ITT, Inc   4,338 
 2,286     J.M. Smucker Co   246 
 1,561     Jack Henry & Associates, Inc   203 
 2,345     Jacobs Engineering Group, Inc   149 
 68,105  *  Jazz Pharmaceuticals plc   11,734 
 134,134     JB Hunt Transport Services, Inc   16,304 
 16,235     JBG SMITH Properties   592 
 7,209     Jefferies Financial Group, Inc   164 
 1,074,014     Johnson & Johnson   130,321 
 18,771     Johnson Controls International plc   628 
 962     Jones Lang LaSalle, Inc   160 
 2,513,521     JPMorgan Chase & Co   261,909 
 7,191     Juniper Networks, Inc   197 
 2,130     Kansas City Southern Industries, Inc   226 
 208,171     KAR Auction Services, Inc   11,408 
 5,176     Kellogg Co   362 
 77,000     Kennametal, Inc   2,764 
 21,628     Keycorp   423 
 3,795  *  Keysight Technologies, Inc   224 
 19,714     Kilroy Realty Corp   1,491 
 40,608     Kimberly-Clark Corp   4,278 
 8,882     Kimco Realty Corp   151 
 215,353     Kinder Morgan, Inc   3,805 
 137,525     Kla-Tencor Corp   14,100 
 2,491     Knight-Swift Transportation Holdings, Inc   95 
 201,664     Kohl’s Corp   14,701 
 246,021     Korn/Ferry International   15,236 
 1,033,370     Kraft Heinz Co   64,916 
246

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 105,310     Kroger Co  $2,996 
 4,854     L Brands, Inc   179 
 1,575     L3 Technologies, Inc   303 
 64,552  *  Laboratory Corp of America Holdings   11,589 
 94,092     Lam Research Corp   16,264 
 1,074,137     Las Vegas Sands Corp   82,021 
 220,472     Lazard Ltd (Class A)   10,783 
 153,352     Lear Corp   28,494 
 2,659     Leggett & Platt, Inc   119 
 178,892     Leidos Holdings, Inc   10,555 
 5,687     Lennar Corp (Class A)   299 
 757     Lennox International, Inc   152 
 2,246  *  Liberty Broadband Corp (Class C)   170 
 4,034  *  Liberty Media Group (Class C)   150 
 2,721     Liberty Property Trust   121 
 2,165  *  Liberty SiriusXM Group (Class A)   98 
 3,600  *  Liberty SiriusXM Group (Class C)   163 
 4,564     Lincoln National Corp   284 
 2,887  *  Live Nation, Inc   140 
 5,973  *  LKQ Corp   191 
 5,222     Lockheed Martin Corp   1,543 
 5,730     Loews Corp   277 
 54,566     Lowe’s Companies, Inc   5,215 
 195,088     LPL Financial Holdings, Inc   12,786 
 2,134  *  Lululemon Athletica, Inc   266 
 113,332     LyondellBasell Industries AF S.C.A   12,450 
 50,651     M&T Bank Corp   8,618 
 11,519     Macerich Co   655 
 6,107     Macy’s, Inc   229 
 1,256     Manpower, Inc   108 
 16,374     Marathon Oil Corp   342 
 82,377     Marathon Petroleum Corp   5,780 
 282  *  Markel Corp   306 
 6,256     Marriott International, Inc (Class A)   792 
 97,253     Marsh & McLennan Cos, Inc   7,972 
 1,278     Martin Marietta Materials, Inc   285 
 1,028,030     Marvell Technology Group Ltd   22,041 
 6,373     Masco Corp   238 
 236,558  *  Mastec, Inc   12,005 
 115,463     MasterCard, Inc (Class A)   22,691 
 279,764  *  Matador Resources Co   8,407 
 192,506  *,e  Match Group, Inc   7,458 
 145,577  e  Mattel, Inc   2,390 
 5,648     Maxim Integrated Products, Inc   331 
 2,351     McCormick & Co, Inc   273 
 401,190     McDonald’s Corp   62,862 
 15,810     McKesson Corp   2,109 
 67,928     Medtronic plc   5,815 
 23,018  *  Merrimack Pharmaceuticals, Inc   113 
 35,459     Metlife, Inc   1,546 
 514  *  Mettler-Toledo International, Inc   297 
 465,570  e  MGM Growth Properties LLC   14,181 
 10,281     MGM Resorts International   298 
247

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 143,291  *  Michael Kors Holdings Ltd  $9,543 
 4,731     Microchip Technology, Inc   430 
 326,069  *  Micron Technology, Inc   17,099 
 3,912,531     Microsoft Corp   385,815 
 12,731     Mid-America Apartment Communities, Inc   1,282 
 1,106  *,e  Middleby Corp   115 
 1,298  *  Mohawk Industries, Inc   278 
 169,977  *  Molina Healthcare, Inc   16,648 
 71,178     Molson Coors Brewing Co (Class B)   4,843 
 415,668     Mondelez International, Inc   17,042 
 868,793  *  Monster Beverage Corp   49,782 
 3,456     Moody’s Corp   589 
 147,023     Morgan Stanley   6,969 
 7,049     Mosaic Co   198 
 147,105     Motorola, Inc   17,119 
 1,781     MSCI, Inc (Class A)   295 
 165,792  *  Mylan NV   5,992 
 2,213     NASDAQ OMX Group, Inc   202 
 7,715     National Oilwell Varco, Inc   335 
 2,980     National Retail Properties, Inc   131 
 17,395     National Storage Affiliates Trust   536 
 3,240  *  Nektar Therapeutics   158 
 287,388     NetApp, Inc   22,569 
 61,602  *  NetFlix, Inc   24,113 
 9,006     New York Community Bancorp, Inc   99 
 9,788     Newell Rubbermaid, Inc   252 
 4,129  *  Newfield Exploration Co   125 
 55,110     Newmont Mining Corp   2,078 
 8,729     News Corp   135 
 110,000     Nexteer Automotive Group Ltd   162 
 46,869     NextEra Energy, Inc   7,829 
 7,137     Nielsen NV   221 
 1,420,357     Nike, Inc (Class B)   113,174 
 6,135     NiSource, Inc   161 
 9,835     Noble Energy, Inc   347 
 175,519     Nordstrom, Inc   9,088 
 5,762     Norfolk Southern Corp   869 
 4,365     Northern Trust Corp   449 
 272,323     Northrop Grumman Corp   83,794 
 4,315  *  Norwegian Cruise Line Holdings Ltd   204 
 125,319     Nucor Corp   7,832 
 144,067     NVIDIA Corp   34,129 
 9,238  *  NVR, Inc   27,440 
 795,704     Occidental Petroleum Corp   66,585 
 4,080     OGE Energy Corp   144 
 1,247     Old Dominion Freight Line   186 
 1,453,170     Olin Corp   41,735 
 4,640     Omnicom Group, Inc   354 
 8,648  *  ON Semiconductor Corp   192 
 78,090     Oneok, Inc   5,453 
 488,196     Oracle Corp   21,510 
 1,728  *  O’Reilly Automotive, Inc   473 
 2,216     Owens Corning, Inc   140 
248

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 7,041     PACCAR, Inc  $436 
 7,044     Packaging Corp of America   787 
 1,830  *  Palo Alto Networks, Inc   376 
 96,099     Park Hotels & Resorts, Inc   2,944 
 204,366     Parker-Hannifin Corp   31,850 
 382,588  *  Parsley Energy, Inc   11,585 
 6,547     Paychex, Inc   447 
 1,902,000  *  PayPal Holdings, Inc   158,379 
 768,246  *,n  Penn National Gaming, Inc   25,805 
 7,663     People’s United Financial, Inc   139 
 165,061     PepsiCo, Inc   17,970 
 14,225     Perrigo Co plc   1,037 
 2,044,483     Pfizer, Inc   74,174 
 53,676     PG&E Corp   2,284 
 651,172     Philip Morris International, Inc   52,576 
 62,948     Phillips 66   7,070 
 454,234     Pinnacle Foods, Inc   29,552 
 171,129     Pinnacle West Capital Corp   13,786 
 48,167     Pioneer Natural Resources Co   9,115 
 376,650     Plains All American Pipeline LP   8,904 
 89,215     Plains GP Holdings LP   2,133 
 98,125     PNC Financial Services Group, Inc   13,257 
 1,238     Polaris Industries, Inc   151 
 157,812     PPG Industries, Inc   16,370 
 13,670     PPL Corp   390 
 48,613     Praxair, Inc   7,688 
 5,895     Principal Financial Group   312 
 235,945     Procter & Gamble Co   18,418 
 400,111     Progressive Corp   23,667 
 89,532     Prologis, Inc   5,881 
 24,000  *  Proofpoint, Inc   2,767 
 405,079     Prudential Financial, Inc   37,879 
 10,198     Public Service Enterprise Group, Inc   552 
 12,437     Public Storage, Inc   2,821 
 497,589     Pulte Homes, Inc   14,306 
 1,608     PVH Corp   241 
 15,199  *  QIAGEN NV (Turquoise)   551 
 2,542  *  Qorvo, Inc   204 
 20,874     QTS Realty Trust, Inc   825 
 142,232     QUALCOMM, Inc   7,982 
 24,643     Quest Diagnostics, Inc   2,709 
 633,681  *  Qurate Retail Group, Inc QVC Group   13,447 
 1,075     Ralph Lauren Corp   135 
 100,982     Raymond James Financial, Inc   9,023 
 32,850     Raytheon Co   6,346 
 13,832     Realty Income Corp   744 
 3,561  *  Red Hat, Inc   478 
 37,895     Regency Centers Corp   2,353 
 1,580  *  Regeneron Pharmaceuticals, Inc   545 
 23,441     Regions Financial Corp   417 
 1,418     Reinsurance Group of America, Inc (Class A)   189 
 4,676     Republic Services, Inc   320 
 2,715     Resmed, Inc   281 
249

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 34,790     Retail Opportunities Investment Corp  $667 
 81,177  *  Retrophin, Inc   2,213 
 98,572     Rexford Industrial Realty, Inc   3,094 
 2,570     Robert Half International, Inc   167 
 53,525     Rockwell Automation, Inc   8,897 
 3,342     Rockwell Collins, Inc   450 
 1,881     Rollins, Inc   99 
 76,824     Roper Industries, Inc   21,197 
 7,768     Ross Stores, Inc   658 
 83  *,m  Rovi Guides, Inc    0^
 3,410     Royal Caribbean Cruises Ltd   353 
 5,120     S&P Global, Inc   1,044 
 4,336     Sabre Corp   107 
 912,736  *  salesforce.com, Inc   124,497 
 2,456  *  SBA Communications Corp   406 
 2,584     SCANA Corp   100 
 395,343     Schering-Plough Corp   23,997 
 810,832     Schlumberger Ltd   54,350 
 5,471     Seagate Technology, Inc   309 
 3,960     Sealed Air Corp   168 
 31,074  *  Seattle Genetics, Inc   2,063 
 2,700     SEI Investments Co   169 
 59,767     Sempra Energy   6,940 
 3,476  *  Sensata Technologies Holding plc   165 
 428,554  *  ServiceNow, Inc   73,913 
 1,697     Sherwin-Williams Co   692 
 1,112  *  Signature Bank   142 
 35,333     Simon Property Group, Inc   6,013 
 33,062  e  Sirius XM Holdings, Inc   224 
 3,735     Skyworks Solutions, Inc   361 
 25,122     SL Green Realty Corp   2,526 
 1,223     Snap-On, Inc   197 
 207,281  *  SolarEdge Technologies, Inc   9,918 
 44,357     Southern Co   2,054 
 2,955     Southwest Airlines Co   150 
 2,355     Spirit Aerosystems Holdings, Inc (Class A)   202 
 11,596  *  Spirit MTA REIT   119 
 115,967     Spirit Realty Capital, Inc   931 
 2,833  *  Splunk, Inc   281 
 74,121  *,e  Sprint Corp   403 
 5,726  *  Square, Inc   353 
 4,242     SS&C Technologies Holdings, Inc   220 
 3,063     Stanley Works   407 
 113,617     Starbucks Corp   5,550 
 28,991     Starwood Property Trust, Inc   629 
 115,282     State Street Corp   10,732 
 114,038     Steel Dynamics, Inc   5,240 
 1,629  *  Stericycle, Inc   106 
 84,498     STERIS Plc   8,873 
 62,989     Stryker Corp   10,636 
 19,714     Sun Communities, Inc   1,930 
 52,185     Sunstone Hotel Investors, Inc   867 
 1,338,497     SunTrust Banks, Inc   88,368 
250

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 43,736  *  SVB Financial Group  $12,629 
 12,066     Symantec Corp   249 
 571,864     Synchrony Financial   19,089 
 236,115  *  Synopsys, Inc   20,204 
 10,053     Sysco Corp   687 
 5,001     T Rowe Price Group, Inc   581 
 167,413  *  Take-Two Interactive Software, Inc   19,815 
 5,462     Tapestry, Inc   255 
 4,376     Targa Resources Investments, Inc   217 
 563,782     Target Corp   42,915 
 66,039     TCF Financial Corp   1,626 
 5,728     TD Ameritrade Holding Corp   314 
 687,170     TE Connectivity Ltd   61,887 
 911     Teleflex, Inc   244 
 185,090  *  Tenet Healthcare Corp   6,213 
 484,712     Terex Corp   20,450 
 16,235     Terreno Realty Corp   612 
 415,848  *,e  TESARO, Inc   18,493 
 2,550  *,e  Tesla, Inc   875 
 170,322     Tetra Tech, Inc   9,964 
 54,942     Texas Instruments, Inc   6,057 
 1,302,081     Textron, Inc   85,820 
 45,458     Thermo Fisher Scientific, Inc   9,416 
 2,350     Tiffany & Co   309 
 250,744     TJX Companies, Inc   23,866 
 132,598  *  T-Mobile US, Inc   7,923 
 2,851     Toll Brothers, Inc   105 
 141,935  *  TopBuild Corp   11,119 
 2,520     Torchmark Corp   205 
 126,424     Total System Services, Inc   10,685 
 2,519     Tractor Supply Co   193 
 38,794     TransDigm Group, Inc   13,389 
 3,712     TransUnion   266 
 5,553     Travelers Cos, Inc   679 
 120,278  *  Trimble Navigation Ltd   3,950 
 2,221  *  TripAdvisor, Inc   124 
 568,199     Tronox Ltd   11,182 
 21,218     Twenty-First Century Fox, Inc   1,054 
 8,706     Twenty-First Century Fox, Inc (Class B)   429 
 452,155  *  Twitter, Inc   19,746 
 5,892     Tyson Foods, Inc (Class A)   406 
 6,165     UDR, Inc   231 
 3,696     UGI Corp   192 
 79,579  *  Ulta Beauty, Inc   18,579 
 153,561  *,e  Under Armour, Inc   3,237 
 779,021  *,e  Under Armour, Inc (Class A)   17,512 
 1,042,346     Union Pacific Corp   147,680 
 1,425  *  United Continental Holdings, Inc   99 
 65,647     United Parcel Service, Inc (Class B)   6,974 
 210,648  *  United Rentals, Inc   31,096 
 15,352     United Technologies Corp   1,919 
 743  *  United Therapeutics Corp   84 
 767,986     UnitedHealth Group, Inc   188,418 
251

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,747     Universal Health Services, Inc (Class B)  $195 
 4,931     UnumProvident Corp   182 
 268,246  *  Urban Outfitters, Inc   11,950 
 31,600     US Bancorp   1,581 
 60,965  *  USANA Health Sciences, Inc   7,029 
 811     Vail Resorts, Inc   222 
 12,917  *  Valeant Pharmaceuticals International, Inc   301 
 146,084     Valero Energy Corp   16,190 
 626,446     Vanguard Emerging Markets ETF   26,436 
 50,000     Vanguard FTSE Developed Markets ETF   2,145 
 1,802  *  Varian Medical Systems, Inc   205 
 2,247  *  Veeva Systems, Inc   173 
 30,321     Ventas, Inc   1,727 
 20,121     VEREIT, Inc   150 
 46,491  *  VeriSign, Inc   6,389 
 3,142  *  Verisk Analytics, Inc   338 
 766,077     Verizon Communications, Inc   38,541 
 34,899  *  Vertex Pharmaceuticals, Inc   5,931 
 6,779     VF Corp   553 
 162,214     Viacom, Inc (Class B)   4,892 
 292,998     Virtu Financial, Inc   7,779 
 925,433     Visa, Inc (Class A)   122,574 
 141,935  *  Visteon Corp   18,344 
 7,028  *  Vistra Energy Corp   166 
 61,578  *  VMware, Inc (Class A)   9,050 
 19,694     Vornado Realty Trust   1,456 
 135,288     Voya Financial, Inc   6,359 
 2,664     Vulcan Materials Co   344 
 1,794     W.R. Berkley Corp   130 
 98,085     W.W. Grainger, Inc   30,249 
 961  *  WABCO Holdings, Inc   112 
 1,745     Wabtec Corp   172 
 16,946     Walgreens Boots Alliance, Inc   1,017 
 432,441     Walmart, Inc   37,039 
 228,663     Walt Disney Co   23,966 
 5,174     Waste Connections, Inc   390 
 221,424     Waste Management, Inc   18,011 
 1,623  *  Waters Corp   314 
 6,353     WEC Energy Group, Inc   411 
 146,316  *  Weight Watchers International, Inc   14,793 
 49,016  *  WellCare Health Plans, Inc   12,070 
 462,583     Wells Fargo & Co   25,646 
 36,305     Welltower, Inc   2,276 
 206,086     Western Digital Corp   15,953 
 10,040     Western Union Co   204 
 95,237     Westlake Chemical Corp   10,250 
 54,568     WestRock Co   3,111 
 157,325     Weyerhaeuser Co   5,736 
 1,384     Whirlpool Corp   202 
 266,634     Williams Cos, Inc   7,228 
 145,707  e  Williams-Sonoma, Inc   8,943 
 2,630     Willis Towers Watson plc   399 
 2,767  *  Workday, Inc   335 
252

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 5,936  *  Worldpay, Inc  $485 
 120,000  *  WPX Energy, Inc   2,164 
 233,170     WR Grace and Co   17,094 
 561,915  n  Wynn Resorts Ltd   94,031 
 10,130     Xcel Energy, Inc   463 
 4,255     Xerox Corp   102 
 5,136     Xilinx, Inc   335 
 2,424  *  XPO Logistics, Inc   243 
 3,408     Xylem, Inc   230 
 193,072     Yum! Brands, Inc   15,102 
 4,254  *  Zayo Group Holdings, Inc   155 
 56,454  *  Zebra Technologies Corp (Class A)   8,087 
 2,115  *  Zillow Group, Inc (Class C)   125 
 370,296     Zimmer Biomet Holdings, Inc   41,266 
 748,825     Zions Bancorporation   39,456 
 419,231     Zoetis, Inc   35,714 
       TOTAL UNITED STATES   11,587,623 
               
URUGUAY - 0.1%
 4,263,043     Arcos Dorados Holdings, Inc   29,628 
       TOTAL URUGUAY   29,628 
               
ZAMBIA - 0.0%
 191,194     First Quantum Minerals Ltd   2,817 
       TOTAL ZAMBIA   2,817 
             
       TOTAL COMMON STOCKS   20,389,445 
       (Cost $18,385,570)     
             
RIGHTS / WARRANTS - 0.0%
BELGIUM - 0.0%
 2,000  m  Cofinimmo S.A.    0^
       TOTAL BELGIUM    0^
             
ITALY - 0.0%
 7,993,454  m  Intesa Sanpaolo S.p.A    0^
       TOTAL ITALY    0^
             
SPAIN - 0.0%
 6,155     ACS Actividades de Construccion y Servicios S.A.   6 
 32,678  e  Repsol S.A.   19 
       TOTAL SPAIN   25 
             
       TOTAL RIGHTS / WARRANTS   25 
       (Cost $25)     
253

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
                  
SHORT-TERM INVESTMENTS - 2.5%
 
TREASURY DEBT - 1.4%
$27,150,000      United States Treasury Bill   1.745%  07/12/18  $27,137 
 28,800,000      United States Treasury Bill   1.786   07/19/18   28,777 
 42,075,000      United States Treasury Bill   1.803   07/26/18   42,026 
 183,760,000      United States Treasury Bill   1.810   08/16/18   183,342 
        TOTAL TREASURY DEBT           281,282 
                      
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 1.1%
 
GOVERNMENT AGENCY DEBT - 0.1%
 15,000,000      Federal Home Loan Bank (FHLB)   0.010   07/02/18   14,999 
        TOTAL GOVERNMENT AGENCY DEBT           14,999 
                      
REPURCHASE AGREEMENT - 1.0%
 10,000,000   r  Barclays   2.100   07/02/18   10,000 
 6,000,000   s  Calyon   2.100   07/02/18   6,000 
 17,000,000   t  Citigroup   2.110   07/02/18   17,000 
 44,000,000   u  HSBC   2.100   07/02/18   44,000 
 27,000,000   v  Merrill Lynch   2.100   07/02/18   27,000 
 85,000,000   w  NatWest Markets   1.930   07/05/18   85,000 
 20,000,000   x  Nomura   2.120   07/02/18   20,000 
        TOTAL REPURCHASE AGREEMENT           209,000 
                      
VARIABLE RATE SECURITIES - 0.0%
 5,143,009   i  SLM Student Loan Trust   2.400   01/25/19   5,143 
        TOTAL VARIABLE RATE SECURITIES           5,143 
                      
        TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED   229,142 
                      
        TOTAL SHORT-TERM INVESTMENTS           510,424 
        (Cost $510,411)             
        TOTAL INVESTMENTS - 100.8%           20,899,894 
        (Cost $18,896,006)             
        OTHER ASSETS & LIABILITIES, NET - (0.8)%          (163,353)
        NET ASSETS - 100.0%          $20,736,541 
         
       
      Abbreviation(s):
      ADR   American Depositary Receipt
      ETF     Exchange Traded Fund
      GDR    Global Depositary Receipt
      OTC    Over The Counter
      REIT    Real Estate Investment Trust
       
  * Non-income producing
  ^ Amount represents less than $1,000.
  Security is categorized as Level 3 in the fair value hierarchy.
254

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

         
  d   All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
  e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $247,868,000.
  g   Security is exempt from registration under rule 144 (A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/18, the aggregate value of these securities was $177,009,000 or 0.9% of net assets.
  i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
  m   Indicates a security that has been deemed illiquid.
  n   All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts.
  r   Agreement with Barclays, 2.10% dated 6/29/18 to be repurchased at $10,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $10,200,000.
  s   Agreement with Calyon, 2.10% dated 6/29/18 to be repurchased at $6,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $6,120,000.
  t   Agreement with Citigroup, 2.11% dated 6/29/18 to be repurchased at $17,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $17,340,000.
  u   Agreement with HSBC, 2.10% dated 6/29/18 to be repurchased at $44,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $44,881,000.
  v   Agreement with Merrill Lynch, 2.10% dated 6/29/18 to be repurchased at $27,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $27,540,000.
  w   Agreement with NatWest Markets, 1.93% dated 6/28/18 to be repurchased at $85,000,000 on 7/05/18, collateralized by U.S. Government Agency Securities valued at $86,702,000.
  x   Agreement with Nomura, 2.12% dated 6/29/18 to be repurchased at $20,000,000 on 7/02/18, collateralized by U.S. Government Agency Securities valued at $20,400,000.
       
      Cost amounts are in thousands.
       
       

Futures contracts outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (see Note 3):

 

Description  Number of
long (short)
contracts
   Expiration date  Notional amount   Value   Unrealized
appreciation
(depreciation)
 
Mini MSCI EAFE Index   867   9/21/18  85,954   $84,766   $(1,188)
S&P 500 E Mini Index   1,058   9/21/18   145,440    143,973    (1,467)
Total   1,925      231,394   $228,739   $(2,655)

 

Written options outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (see Note 3):

 

Description/underlying investment  Number of contracts  Notional amount   Exercise price   Expiration date  Value 
Penn National Gaming, Inc, Put  500  $(31)  $30.00    8/17/18  $(32)
Wynn Resorts Ltd, Put  200   (93)   155.00   8/17/18   (83)
Total  700   (124)          $(115)
255

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

COLLEGE RETIREMENT EQUITIES FUND

GLOBAL EQUITIES ACCOUNT

SUMMARY OF MARKET VALUES BY SECTOR (unaudited)

June 30, 2018

 

SECTOR  VALUE
(000)
   % OF
ASSETS
 
INFORMATION TECHNOLOGY  $4,648,017    22.3%
FINANCIALS   3,227,520    15.6 
CONSUMER DISCRETIONARY   3,051,834    14.7 
HEALTH CARE   2,303,001    11.1 
INDUSTRIALS   2,175,346    10.5 
ENERGY   1,474,753    7.1 
CONSUMER STAPLES   1,352,808    6.5 
MATERIALS   1,298,873    6.3 
REAL ESTATE   314,338    1.5 
TELECOMMUNICATION SERVICES   283,052    1.4 
UTILITIES   259,928    1.3 
SHORT-TERM INVESTMENTS   510,424    2.5 
OTHER ASSETS & LIABILITIES, NET   (163,353)   (0.8)
NET ASSETS  $20,736,541    100.0%
256

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

COLLEGE RETIREMENT EQUITIES FUND
GROWTH ACCOUNT
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2018

 

SHARES     COMPANY  VALUE
(000)
 
             
COMMON STOCKS - 99.5%
             
AUTOMOBILES & COMPONENTS - 0.7%
 794,812     Delphi Automotive plc  $72,828 
 1,158,040     Gentex Corp   26,658 
 195,123     Lear Corp   36,256 
 145,065  *,e  Tesla, Inc   49,750 
 2,471     Thor Industries, Inc   241 
 1,112  *  Visteon Corp   144 
       TOTAL AUTOMOBILES & COMPONENTS   185,877 
             
BANKS - 0.5%
 1,538,910     Bank of America Corp   43,382 
 994,700     Citizens Financial Group, Inc   38,694 
 120,771     Comerica, Inc   10,980 
 645     East West Bancorp, Inc   42 
 1,364     Pinnacle Financial Partners, Inc   84 
 2,022  *  Signature Bank   259 
 61,900  *  SVB Financial Group   17,874 
 157,014     Synovus Financial Corp   8,295 
 1,877  *  Texas Capital Bancshares, Inc   172 
 537,766     Wells Fargo & Co   29,814 
 2,924  *  Western Alliance Bancorp   165 
       TOTAL BANKS   149,761 
             
CAPITAL GOODS - 7.4%
 116,153     3M Co   22,850 
 8,602     A.O. Smith Corp   509 
 44     Air Lease Corp   2 
 1,006,950     Airbus SE   117,506 
 4,231     Allegion plc   327 
 1,097,028     Allison Transmission Holdings, Inc   44,419 
 231,267     Ametek, Inc   16,688 
 2,122  *  Armstrong World Industries, Inc   134 
 1,295,881     Boeing Co   434,781 
 5,364     BWX Technologies, Inc   334 
 883,477     Caterpillar, Inc   119,861 
 1,568,828     CNH Industrial NV (NYSE)   16,520 
 94,188     Cummins, Inc   12,527 
 204     Curtiss-Wright Corp   24 
 18,294     Deere & Co   2,557 
 6,448     Donaldson Co, Inc   291 
 258,472     Emerson Electric Co   17,871 
 1,931     Equifax, Inc   242 
 17,135     Fastenal Co   825 
 927,440     Fortive Corp   71,515 
 3,597     Fortune Brands Home & Security, Inc   193 
257

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 211,184  *  Gardner Denver Holdings, Inc  $6,207 
 6,591     General Dynamics Corp   1,229 
 9,632     Graco, Inc   435 
 101,794     Harris Corp   14,713 
 476,637  *  HD Supply Holdings, Inc   20,443 
 2,185     HEICO Corp   159 
 4,325     HEICO Corp (Class A)   264 
 1,124     Hexcel Corp   75 
 1,317,855     Honeywell International, Inc   189,837 
 138,010     Hubbell, Inc   14,593 
 2,265     Huntington Ingalls   491 
 4,036     IDEX Corp   551 
 19,074     Illinois Tool Works, Inc   2,642 
 389,171     Ingersoll-Rand plc   34,920 
 2,017     Lennox International, Inc   404 
 3,348     Lincoln Electric Holdings, Inc   294 
 316,650     Lockheed Martin Corp   93,548 
 12,209     Masco Corp   457 
 1,578  *,e  Middleby Corp   165 
 791     MSC Industrial Direct Co (Class A)   67 
 2,996     Nordson Corp   385 
 498,156     Northrop Grumman Corp   153,283 
 359,986     Parker-Hannifin Corp   56,104 
 2,584  *  Quanta Services, Inc   86 
 312,323     Raytheon Co   60,334 
 97,170     Rockwell Automation, Inc   16,152 
 1,049     Rockwell Collins, Inc   141 
 500,840     Roper Industries, Inc   138,187 
 544,065  *  Sensata Technologies Holding plc   25,887 
 6,331     Spirit Aerosystems Holdings, Inc (Class A)   544 
 833,652     Textron, Inc   54,946 
 6,179     Toro Co   372 
 132,735     TransDigm Group, Inc   45,812 
 562,078  *  United Rentals, Inc   82,974 
 1,030  *  Univar, Inc   27 
 325,291     W.W. Grainger, Inc   100,320 
 2,890  *  WABCO Holdings, Inc   338 
 1,843     Wabtec Corp   182 
 1,328     Watsco, Inc   237 
 6,183  *  Welbilt, Inc   138 
 5,645     Xylem, Inc   380 
       TOTAL CAPITAL GOODS   1,998,299 
             
COMMERCIAL & PROFESSIONAL SERVICES - 1.2%
 488,888  *  Cimpress NV   70,869 
 4,930     Cintas Corp   912 
 319,846  *  Copart, Inc   18,091 
 112,773  *  CoStar Group, Inc   46,534 
 965     Dun & Bradstreet Corp   118 
 2,150,000     Experian Group Ltd   53,038 
 621,330  *  IHS Markit Ltd   32,054 
 402,340     KAR Auction Services, Inc   22,048 
 852     Republic Services, Inc   58 
 6,907     Robert Half International, Inc   450 
258

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
            
 5,494     Rollins, Inc  $289 
 351,220     TransUnion   25,161 
 9,054  *  Verisk Analytics, Inc   975 
 541,686     Waste Connections, Inc   40,778 
 232,149     Waste Management, Inc   18,883 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES   330,258 
             
CONSUMER DURABLES & APPAREL - 2.0%
 501     Brunswick Corp   32 
 2,744     Carter’s, Inc   298 
 60,348     Columbia Sportswear Co   5,520 
 279,300  *  Deckers Outdoor Corp   31,530 
 484,764     DR Horton, Inc   19,875 
 19,962     Hanesbrands, Inc   440 
 5,341     Hasbro, Inc   493 
 499     Lennar Corp (B Shares)   21 
 9,048     Lennar Corp (Class A)   475 
 186,460  *  Lululemon Athletica, Inc   23,280 
 2,391  e  Mattel, Inc   39 
 395,185  *  Michael Kors Holdings Ltd   26,319 
 1,826,168     Nike, Inc (Class B)   145,509 
 24,777  *  NVR, Inc   73,596 
 80,493     Polaris Industries, Inc   9,835 
 2,114     Pool Corp   320 
 4,978,600     Prada S.p.A   22,938 
 1,663,892     Pulte Homes, Inc   47,837 
 3,387  *  Skechers U.S.A., Inc (Class A)   102 
 919,701     Sony Corp   47,102 
 1,206,626     Tapestry, Inc   56,362 
 363,817  *,e  Tempur Sealy International, Inc   17,482 
 3,304     Toll Brothers, Inc   122 
 7,703  *,e  Under Armour, Inc   162 
 8,444  *,e  Under Armour, Inc (Class A)   190 
 146,506     VF Corp   11,943 
       TOTAL CONSUMER DURABLES & APPAREL   541,822 
             
CONSUMER SERVICES - 2.3%
 601,707     ARAMARK Holdings Corp   22,323 
 2,880  *  Bright Horizons Family Solutions   295 
 102,483  *  Chipotle Mexican Grill, Inc (Class A)   44,208 
 2,065     Choice Hotels International, Inc   156 
 3,399     Darden Restaurants, Inc   364 
 2,329     Domino’s Pizza, Inc   657 
 4,713  e  Dunkin Brands Group, Inc   326 
 861,259     Extended Stay America, Inc   18,612 
 2,500  *  Grand Canyon Education, Inc   279 
 2,114     H&R Block, Inc   48 
 664,364  *  Hilton Grand Vacations, Inc   23,053 
 218,973     Hilton Worldwide Holdings, Inc   17,334 
 736,258     ILG, Inc   24,319 
 329  e  International Game Technology plc   8 
 1,266,482     Las Vegas Sands Corp   96,709 
 1,320,312     Marriott International, Inc (Class A)   167,152 
259

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 184,968     McDonald’s Corp  $28,983 
 2,306     MGM Resorts International   67 
 295,000     Restaurant Brands International, Inc   17,789 
 184,052     Service Corp International   6,587 
 7,504  *  ServiceMaster Global Holdings, Inc   446 
 3,961  e  Six Flags Entertainment Corp   277 
 1,034,988     Starbucks Corp   50,559 
 2,261     Vail Resorts, Inc   620 
 9,954     Wendy’s   171 
 5,374     Wyndham Hotels & Resorts, Inc   316 
 5,970     Wyndham Worldwide Corp   264 
 292,331     Wynn Resorts Ltd   48,919 
 467,140     Yum China Holdings, Inc   17,966 
 274,936     Yum! Brands, Inc   21,505 
       TOTAL CONSUMER SERVICES   610,312 
             
DIVERSIFIED FINANCIALS - 2.5%
 27,317     American Express Co   2,677 
 199,296     Ameriprise Financial, Inc   27,878 
 193,547     Capital One Financial Corp   17,787 
 146,054     CBOE Holdings, Inc   15,200 
 410,186     Charles Schwab Corp   20,960 
 1,611     CME Group, Inc   264 
 125,916  *,e  Credit Acceptance Corp   44,499 
 94,525     Discover Financial Services   6,656 
 615,661  *  E*TRADE Financial Corp   37,654 
 6,863     Eaton Vance Corp   358 
 2,394     Evercore Partners, Inc (Class A)   252 
 2,121     Factset Research Systems, Inc   420 
 420,984     Goldman Sachs Group, Inc   92,856 
 3,812     Interactive Brokers Group, Inc (Class A)   246 
 300,783     IntercontinentalExchange Group, Inc   22,123 
 949,500  e  iShares Russell 1000 Growth Index Fund   136,538 
 453,407     Lazard Ltd (Class A)   22,176 
 298,703     LPL Financial Holdings, Inc   19,577 
 2,011     MarketAxess Holdings, Inc   398 
 9,411     Moody’s Corp   1,605 
 808     Morningstar, Inc   104 
 4,969     MSCI, Inc (Class A)   822 
 3,138     Northern Trust Corp   323 
 323  *  OneMain Holdings, Inc   11 
 2,308     Raymond James Financial, Inc   206 
 450,381     S&P Global, Inc   91,828 
 888     Santander Consumer USA Holdings, Inc   17 
 7,917     SEI Investments Co   495 
 250,160     State Street Corp   23,287 
 1,139,050     Synchrony Financial   38,021 
 74,302     T Rowe Price Group, Inc   8,626 
 328,417     TD Ameritrade Holding Corp   17,987 
 1,009     Virtu Financial, Inc   27 
 349,255     Voya Financial, Inc   16,415 
       TOTAL DIVERSIFIED FINANCIALS   668,293 
260

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
ENERGY - 1.0%
 10,323     Anadarko Petroleum Corp  $756 
 6,023  *  Antero Resources Corp   129 
 1,436     Apache Corp   67 
 18,079     Cabot Oil & Gas Corp   430 
 8,662  *  Cheniere Energy, Inc   565 
 354     Cimarex Energy Co   36 
 142,200  *  Concho Resources, Inc   19,673 
 210,059  *  Continental Resources, Inc   13,603 
 1,530     Diamondback Energy, Inc   201 
 1,453,569     EOG Resources, Inc   180,868 
 49,331     Halliburton Co   2,223 
 2,731  *  Kosmos Energy LLC   23 
 3,165  *  Newfield Exploration Co   96 
 9,592     Oneok, Inc   670 
 1,650,695  *  Parsley Energy, Inc   49,983 
 5,279     Pioneer Natural Resources Co   999 
 1,340  e  RPC, Inc   20 
 4,168  *  RSP Permian, Inc   183 
       TOTAL ENERGY   270,525 
             
FOOD & STAPLES RETAILING - 0.7%
 6,176  *  Sprouts Farmers Market, Inc   136 
 466,529     Sysco Corp   31,859 
 757  *  US Foods Holding Corp   29 
 272,400     Walgreens Boots Alliance, Inc   16,348 
 1,674,338     Walmart, Inc   143,407 
       TOTAL FOOD & STAPLES RETAILING   191,779 
             
FOOD, BEVERAGE & TOBACCO - 2.4%
 315,495     Altria Group, Inc   17,917 
 2,811     Brown-Forman Corp   137 
 16,014     Brown-Forman Corp (Class B)   785 
 96,275  e  Campbell Soup Co   3,903 
 551,681     Coca-Cola Co   24,197 
 203,664     Constellation Brands, Inc (Class A)   44,576 
 807,809     Costco Wholesale Corp   168,816 
 4,000,000     Davide Campari-Milano S.p.A   32,832 
 10,113  *  Dr Pepper Snapple Group, Inc   1,234 
 315,029     General Mills, Inc   13,943 
 51,465     Hershey Co   4,789 
 60,766     Kellogg Co   4,246 
 366,668     Kraft Heinz Co   23,034 
 323,700     Lamb Weston Holdings, Inc   22,176 
 344,920     McCormick & Co, Inc   40,042 
 3,278,727  *  Monster Beverage Corp   187,871 
 506,495     PepsiCo, Inc   55,142 
 1,850  *  Post Holdings, Inc   159 
       TOTAL FOOD, BEVERAGE & TOBACCO   645,799 
             
HEALTH CARE EQUIPMENT & SERVICES - 6.7%
 1,335,355     Abbott Laboratories   81,443 
 30,682  *  Abiomed, Inc   12,551 
261

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 266,241     Aetna Inc  $48,855 
 116,532  *  Align Technology, Inc   39,870 
 129,513     AmerisourceBergen Corp   11,044 
 190,500     Anthem, Inc   45,345 
 60,561  *  athenahealth, Inc   9,638 
 1,102,243     Baxter International, Inc   81,390 
 1,292     Becton Dickinson & Co   310 
 729,474  *  Boston Scientific Corp   23,854 
 2,194     Cantel Medical Corp   216 
 233,029  *  Centene Corp   28,712 
 1,666,824  *  Cerner Corp   99,659 
 924     Chemed Corp   297 
 499,937     Cigna Corp   84,964 
 459     Cooper Cos, Inc   108 
 4,201  *  DaVita, Inc   292 
 4,833  *  DexCom, Inc   459 
 1,171,996  *  Edwards Lifesciences Corp   170,607 
 475,593     Encompass Health Corp   32,207 
 606  *  Envision Healthcare Corp   27 
 683,736  *  Express Scripts Holding Co   52,791 
 341,094     HCA Holdings, Inc   34,996 
 1,344  *  Henry Schein, Inc   98 
 2,558     Hill-Rom Holdings, Inc   223 
 212,240     Humana, Inc   63,169 
 929  *  ICU Medical, Inc   273 
 87,548  *  Idexx Laboratories, Inc   19,080 
 3,480  *  Insulet Corp   298 
 3,341  *  Integra LifeSciences Holdings Corp   215 
 679,741  *  Intuitive Surgical, Inc   325,242 
 359  *  Laboratory Corp of America Holdings   64 
 2,687  *  Masimo Corp   262 
 239,282     McKesson Corp   31,920 
 2,740  *  Molina Healthcare, Inc   268 
 1,575  *  Penumbra, Inc   218 
 753,312  *  Premier, Inc   27,406 
 7,936     Resmed, Inc   822 
 961,824     Stryker Corp   162,414 
 519     Teleflex, Inc   139 
 861,595     UnitedHealth Group, Inc   211,384 
 5,147  *  Varian Medical Systems, Inc   585 
 251,095  *  Veeva Systems, Inc   19,299 
 268,437  *  WellCare Health Plans, Inc   66,100 
 1,007     West Pharmaceutical Services, Inc   100 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES   1,789,214 
             
HOUSEHOLD & PERSONAL PRODUCTS - 0.8%
 12,359     Church & Dwight Co, Inc   657 
 6,708     Clorox Co   907 
 8,921     Colgate-Palmolive Co   578 
 227,264     Energizer Holdings, Inc   14,309 
 1,044,112     Estee Lauder Cos (Class A)   148,984 
 213,758  *  Herbalife Ltd   11,483 
 224,224     Kimberly-Clark Corp   23,620 
 215,693     Nu Skin Enterprises, Inc (Class A)   16,865 
       TOTAL HOUSEHOLD & PERSONAL PRODUCTS   217,403 
262

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
INSURANCE - 0.5%
 101     Alleghany Corp  $58 
 349,958     American International Group, Inc   18,555 
 13,787     Aon plc   1,891 
 3,669  *  Arch Capital Group Ltd   97 
 528     Axis Capital Holdings Ltd   29 
 13,793  *  Berkshire Hathaway, Inc (Class B)   2,574 
 780     Brown & Brown, Inc   22 
 817     Erie Indemnity Co (Class A)   96 
 953     Everest Re Group Ltd   220 
 71  *  Markel Corp   77 
 13,388     Marsh & McLennan Cos, Inc   1,097 
 1,697,006     Progressive Corp   100,378 
 14     RenaissanceRe Holdings Ltd   2 
 3,141     Travelers Cos, Inc   384 
 127     Validus Holdings Ltd   9 
 4,751     XL Group Ltd   266 
       TOTAL INSURANCE   125,755 
             
MATERIALS - 1.7%
 5,030     Avery Dennison Corp   514 
 5,124  *  Axalta Coating Systems Ltd   155 
 907,078  *  Berry Plastics Group, Inc   41,671 
 4,813     Celanese Corp (Series A)   535 
 409,200     Chemours Co   18,152 
 7,704  *  Crown Holdings, Inc   345 
 2,245     Eagle Materials, Inc   236 
 6,493     Ecolab, Inc   911 
 3,253     FMC Corp   290 
 3,134     Graphic Packaging Holding Co   45 
 1,010,300     Huntsman Corp   29,501 
 1,991     International Flavors & Fragrances, Inc   247 
 2,791     International Paper Co   145 
 499,505     LyondellBasell Industries AF S.C.A   54,871 
 3,253     Martin Marietta Materials, Inc   727 
 358     NewMarket Corp   145 
 91,375     Packaging Corp of America   10,215 
 3,497  *  Platform Specialty Products Corp   41 
 102,463     PPG Industries, Inc   10,628 
 549,478     Praxair, Inc   86,900 
 1,216     Royal Gold, Inc   113 
 1,589     RPM International, Inc   93 
 1,179     Scotts Miracle-Gro Co (Class A)   98 
 4,718     Sealed Air Corp   200 
 327,508     Sherwin-Williams Co   133,482 
 240     Silgan Holdings, Inc   6 
 4,912     Southern Copper Corp (NY)   230 
 285,052     Steel Dynamics, Inc   13,098 
 144,973     Vulcan Materials Co   18,710 
 112,167     Westlake Chemical Corp   12,073 
 293,044     WR Grace and Co   21,483 
       TOTAL MATERIALS   455,860 
             
263

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
MEDIA - 1.0%
 259,886  *  AMC Networks, Inc  $16,165 
 206     Cable One, Inc   151 
 1,215,253     CBS Corp (Class B)   68,322 
 7,131  *  Charter Communications, Inc   2,091 
 1,153,754     Comcast Corp (Class A)   37,855 
 2,336     Interpublic Group of Cos, Inc   55 
 214  e  Lions Gate Entertainment Corp (Class A)   5 
 418     Lions Gate Entertainment Corp (Class B)   10 
 8,221  *  Live Nation, Inc   399 
 110  *  Madison Square Garden Co   34 
 8,426     Omnicom Group, Inc   643 
 4,656  *,m  Rovi Guides, Inc   16 
 76,687  e  Sirius XM Holdings, Inc   519 
 1,285,023     Walt Disney Co   134,683 
       TOTAL MEDIA   260,948 
             
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 6.0%
 1,858,928     AbbVie, Inc   172,230 
 2,818  *  Agios Pharmaceuticals, Inc   237 
 794,365  *  Alexion Pharmaceuticals, Inc   98,620 
 8,310  *  Alkermes plc   342 
 175,448     Allergan plc   29,251 
 4,349  *  Alnylam Pharmaceuticals, Inc   428 
 215,891     Amgen, Inc   39,851 
 244,452     Bayer AG.   26,847 
 230,587  *  Biogen Idec, Inc   66,926 
 303,297  *  BioMarin Pharmaceutical, Inc   28,571 
 2,215     Bio-Techne Corp   328 
 1,828  *  Bluebird Bio, Inc   287 
 49,176     Bristol-Myers Squibb Co   2,721 
 230,557     Bruker BioSciences Corp   6,695 
 1,845  *  Catalent, Inc   77 
 428,232  *  Celgene Corp   34,010 
 65,720  *  Charles River Laboratories International, Inc   7,378 
 227,398     Eli Lilly & Co   19,404 
 6,554  *  Exact Sciences Corp   392 
 15,829  *  Exelixis, Inc   341 
 2,013,145     Gilead Sciences, Inc   142,611 
 763,784  *  Illumina, Inc   213,317 
 9,927  *  Incyte Corp   665 
 6,961  *  Ionis Pharmaceuticals, Inc   290 
 321,500  *  IQVIA Holdings, Inc   32,092 
 566,562  *  Jazz Pharmaceuticals plc   97,619 
 27,314     Johnson & Johnson   3,314 
 452,346     Lonza Group AG.   119,531 
 1,484  *  Mettler-Toledo International, Inc   859 
 8,583  *  Nektar Therapeutics   419 
 4,949  *  Neurocrine Biosciences, Inc   486 
 80,009  *  PRA Health Sciences, Inc   7,470 
 4,503  *  Regeneron Pharmaceuticals, Inc   1,553 
 2,476  *  Sage Therapeutics, Inc   388 
264

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 3,426  *,e  Sarepta Therapeutics, Inc  $453 
 10,189     Schering-Plough Corp   618 
 6,254  *  Seattle Genetics, Inc   415 
 1,506  *,e  TESARO, Inc   67 
 782,206     Teva Pharmaceutical Industries Ltd (ADR)   19,023 
 97,812     Thermo Fisher Scientific, Inc   20,261 
 761,536  *  Vertex Pharmaceuticals, Inc   129,431 
 67,484  *  Waters Corp   13,064 
 3,234,270     Zoetis, Inc   275,527 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   1,614,409 
             
REAL ESTATE - 0.7%
 480     Alexandria Real Estate Equities, Inc   60 
 248,649     American Tower Corp   35,848 
 803,073  *  CBRE Group, Inc   38,339 
 1,567     Colony Capital, Inc   10 
 1,820     Coresite Realty   202 
 17,637     Crown Castle International Corp   1,901 
 30,877     Equinix, Inc   13,274 
 136,662     Equity Lifestyle Properties, Inc   12,559 
 31,764     Extra Space Storage, Inc   3,170 
 535,082     Gaming and Leisure Properties, Inc   19,156 
 937  *  Howard Hughes Corp   124 
 334,230     Hudson Pacific Properties   11,842 
 3,992     Lamar Advertising Co   273 
 153     Life Storage, Inc   15 
 850,649     MGM Growth Properties LLC   25,911 
 969  e  Omega Healthcare Investors, Inc   30 
 8,384     Public Storage, Inc   1,902 
 6,430  *  SBA Communications Corp   1,062 
 57,840     Simon Property Group, Inc   9,844 
 3,531     Taubman Centers, Inc   207 
       TOTAL REAL ESTATE   175,729 
             
RETAILING - 12.0%
 1,286     Advance Auto Parts, Inc   175 
 889,460  *  Amazon.com, Inc   1,511,904 
 600,000  *  ASOS plc   48,128 
 1,323  *  AutoZone, Inc   888 
 97,387     Best Buy Co, Inc   7,263 
 466,151  *  BJ’s Wholesale Club Holdings, Inc   11,024 
 52,025  *  Booking Holdings, Inc   105,459 
 250,875  *  Burlington Stores, Inc   37,764 
 915,721  *  CarMax, Inc   66,729 
 748,134  *  Ctrip.com International Ltd (ADR)   35,634 
 625,590     Dollar General Corp   61,683 
 82,480  *  Dollar Tree, Inc   7,011 
 1,839,947     Expedia, Inc   221,143 
 1,571  *,e  Floor & Decor Holdings, Inc   77 
 460     Gap, Inc   15 
 4,595,466  *  Groupon, Inc   19,761 
 1,920,715     Home Depot, Inc   374,732 
 3,058,773     Industria De Diseno Textil S.A.   104,164 
 161,891     Kering   91,193 
265

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,661     L Brands, Inc  $61 
 3,181  *  LKQ Corp   101 
 223,328     Lowe’s Companies, Inc   21,343 
 1,018  *  Michaels Cos, Inc   20 
 643,365  *  NetFlix, Inc   251,832 
 6,346     Nordstrom, Inc   329 
 4,538  *  O’Reilly Automotive, Inc   1,241 
 3,835,021  *  Qurate Retail Group, Inc QVC Group   81,379 
 127,121     Ross Stores, Inc   10,774 
 392,394     Tiffany & Co   51,639 
 389,150     TJX Companies, Inc   37,039 
 6,823     Tractor Supply Co   522 
 5,588  *  TripAdvisor, Inc   311 
 184,363  *  Ulta Beauty, Inc   43,041 
 160,939  *  Urban Outfitters, Inc   7,170 
 104,844  *,e  Wayfair, Inc   12,451 
 94,783  e  Williams-Sonoma, Inc   5,818 
       TOTAL RETAILING   3,229,818 
             
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 4.5%
 2,192,505  *  Advanced Micro Devices, Inc   32,866 
 3,116     Analog Devices, Inc   299 
 4,785,044     Applied Materials, Inc   221,021 
 1,535,093     Broadcom, Inc   372,475 
 3,649  *  Cavium, Inc   316 
 714,634     Cypress Semiconductor Corp   11,134 
 986,554     Intel Corp   49,041 
 459,729     Kla-Tencor Corp   47,136 
 301,373     Lam Research Corp   52,092 
 369,926     Maxim Integrated Products, Inc   21,700 
 203,493  e  Microchip Technology, Inc   18,508 
 682,917  *  Micron Technology, Inc   35,812 
 2,850     MKS Instruments, Inc   273 
 2,424     Monolithic Power Systems, Inc   324 
 1,044,197     NVIDIA Corp   247,370 
 1,088  *  NXP Semiconductors NV   119 
 509,676  *  ON Semiconductor Corp   11,333 
 7,282     Skyworks Solutions, Inc   704 
 1,823     Teradyne, Inc   69 
 332,388     Texas Instruments, Inc   36,646 
 2,273  e  Universal Display Corp   195 
 6,477     Versum Materials, Inc   241 
 973,759     Xilinx, Inc   63,547 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   1,223,221 
           
SOFTWARE & SERVICES - 37.3%
 3,216  *  2U, Inc   269 
 687,508     Accenture plc   112,469 
 2,160,904     Activision Blizzard, Inc   164,920 
 1,666,544  *  Adobe Systems, Inc   406,320 
 1,128  *,g  Adyen NV   621 
 8,784  *  Akamai Technologies, Inc   643 
 753,503  *  Alibaba Group Holding Ltd (ADR)   139,797 
266

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 44,926     Alliance Data Systems Corp  $10,477 
 419,563  *  Alphabet, Inc (Class A)   473,766 
 934,702  *  Alphabet, Inc (Class C)   1,042,800 
 116,425  *  Ansys, Inc   20,279 
 3,656  *  Aspen Technology, Inc   339 
 5,174  *  Atlassian Corp plc   323 
 10,405  *  Autodesk, Inc   1,364 
 1,128,336     Automatic Data Processing, Inc   151,355 
 605,529  *  Baidu, Inc (ADR)   147,144 
 7,803  *  Black Knight, Inc   418 
 256,156     Booz Allen Hamilton Holding Co   11,202 
 317,231     Broadridge Financial Solutions, Inc   36,513 
 1,038,205  *  Cadence Design Systems, Inc   44,965 
 7,530     CDK Global, Inc   490 
 1,407  *  Ceridian HCM Holding, Inc   47 
 436,301  *  Citrix Systems, Inc   45,742 
 836,640     Cognizant Technology Solutions Corp (Class A)   66,086 
 228,858  *  Dell Technologies, Inc-VMware Inc   19,357 
 1,492  *,e  DocuSign, Inc   79 
 60,882  *,e  Dropbox, Inc   1,974 
 1,388,200     DXC Technology Co   111,903 
 3,877,947  *  eBay, Inc   140,614 
 417,009  *  Electronic Arts, Inc   58,807 
 2,738  *  EPAM Systems, Inc   340 
 1,476  *  Euronet Worldwide, Inc   124 
 4,330,231  *  Facebook, Inc   841,450 
 1,750  *  Fair Isaac Corp   338 
 223,072     Fidelity National Information Services, Inc   23,652 
 7,454  *  FireEye, Inc   115 
 43,301  *  First American Corp   2,247 
 26,924  *  First Data Corp   564 
 23,118  *  Fiserv, Inc   1,713 
 5,025  *  FleetCor Technologies, Inc   1,059 
 187,353  *  Fortinet, Inc   11,696 
 510,281  *  Gartner, Inc   67,816 
 425,903     Genpact Ltd   12,321 
 8,973     Global Payments, Inc   1,000 
 1,062,210  *  GoDaddy, Inc   74,992 
 953,472  *  GrubHub, Inc   100,029 
 138,218  *  Guidewire Software, Inc   12,271 
 1,343,779  *  IAC/InterActiveCorp   204,913 
 442,369     International Business Machines Corp   61,799 
 2,673,643     Intuit, Inc   546,239 
 4,415     Jack Henry & Associates, Inc   576 
 443,352     LogMeIn, Inc   45,776 
 3,205  *  Manhattan Associates, Inc   151 
 2,660,643     MasterCard, Inc (Class A)   522,870 
 873,878  *,e  Match Group, Inc   33,854 
 16,113,540     Microsoft Corp   1,588,956 
 5,668  *  Nutanix, Inc   292 
 5,108  *  Okta, Inc   257 
 15,766     Oracle Corp   695 
 445,632     Paychex, Inc   30,459 
 2,958  *,e  Paycom Software, Inc   292 
267

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 4,966,671  *  PayPal Holdings, Inc  $413,575 
 2,242     Pegasystems, Inc   123 
 228,795     Perspecta, Inc   4,702 
 106,697  *  Proofpoint, Inc   12,303 
 321,341  *  PTC, Inc   30,145 
 4,184  *  RealPage, Inc   231 
 215,022  *  Red Hat, Inc   28,892 
 3,962  *  RingCentral, Inc   279 
 375,423     Sabre Corp   9,250 
 4,185,004  *  salesforce.com, Inc   570,834 
 486,923  g  Scout24 AG.   25,772 
 466,773  *  ServiceNow, Inc   80,504 
 146,300  *  Shopify, Inc (Class A)   21,344 
 145,209  *  Splunk, Inc   14,392 
 312,877  *  Square, Inc   19,286 
 10,769     SS&C Technologies Holdings, Inc   559 
 2,129  e  Switch, Inc   26 
 334,833  *  Synopsys, Inc   28,652 
 3,677  *  Tableau Software, Inc   359 
 3,695  *  Take-Two Interactive Software, Inc   437 
 4,570,507     Tencent Holdings Ltd   229,510 
 5,106  *  Teradata Corp   205 
 755,373     Total System Services, Inc   63,844 
 3,639  *  Twilio, Inc   204 
 4,950,712  *  Twitter, Inc   216,198 
 2,085  *  Tyler Technologies, Inc   463 
 1,639  *  Ultimate Software Group, Inc   422 
 228,742  *  VeriSign, Inc   31,434 
 5,360,934     Visa, Inc (Class A)   710,056 
 512,766  *  VMware, Inc (Class A)   75,361 
 7,582     Western Union Co   154 
 85,774  *  WEX, Inc   16,338 
 8,198  *  Workday, Inc   993 
 1,550  *  Worldpay, Inc   127 
 238,783  *  Zendesk, Inc   13,011 
 2,275  *  Zillow Group, Inc   136 
 4,924  *  Zillow Group, Inc (Class C)   291 
       TOTAL SOFTWARE & SERVICES   10,020,351 
             
TECHNOLOGY HARDWARE & EQUIPMENT - 5.7%
 16,649     Amphenol Corp (Class A)   1,451 
 5,548,459     Apple, Inc   1,027,075 
 3,212  *  Arista Networks, Inc   827 
 283,078     CDW Corp   22,870 
 2,984,815     Cisco Systems, Inc   128,437 
 9,856     Cognex Corp   440 
 1,057  *  Coherent, Inc   165 
 206,829  *  F5 Networks, Inc   35,668 
 721     Flir Systems, Inc   37 
 2,104  *  IPG Photonics Corp   464 
 1,193     Littelfuse, Inc   272 
 837,334     Motorola, Inc   97,441 
 5,344     National Instruments Corp   224 
268

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 5,007  *  NCR Corp  $150 
 558,753     NetApp, Inc   43,879 
 106,601  *  Palo Alto Networks, Inc   21,903 
 8,321  *  Pure Storage, Inc   199 
 1,167,690     TE Connectivity Ltd   105,162 
 348,600  *  Trimble Navigation Ltd   11,448 
 735  *,e  Ubiquiti Networks, Inc   62 
 216,334  *  Zebra Technologies Corp (Class A)   30,990 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   1,529,164 
             
TELECOMMUNICATION SERVICES - 0.2%
 192,400     Softbank Corp   13,739 
 448,474  *  T-Mobile US, Inc   26,796 
 10,889  *  Zayo Group Holdings, Inc   397 
       TOTAL TELECOMMUNICATION SERVICES   40,932 
             
TRANSPORTATION - 1.7%
 439,990     American Airlines Group, Inc   16,702 
 7,823     CH Robinson Worldwide, Inc   655 
 734,464     CSX Corp   46,844 
 60,139     Delta Air Lines, Inc   2,979 
 9,861     Expeditors International of Washington, Inc   721 
 652,085     FedEx Corp   148,063 
 313  *  Genesee & Wyoming, Inc (Class A)   25 
 5,192     JB Hunt Transport Services, Inc   631 
 2,377     Landstar System, Inc   260 
 3,692     Old Dominion Freight Line   550 
 464     Schneider National, Inc   13 
 21,372     Southwest Airlines Co   1,087 
 586,654  *,e  Spirit Airlines, Inc   21,325 
 1,176,506     Union Pacific Corp   166,687 
 353,506     United Parcel Service, Inc (Class B)   37,553 
 45,560  *  XPO Logistics, Inc   4,564 
       TOTAL TRANSPORTATION   448,659 
             
       TOTAL COMMON STOCKS   26,724,188 
       (Cost $19,730,359)     
269

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
 
SHORT-TERM INVESTMENTS - 1.0%
 
TREASURY DEBT - 0.2%
$65,150,000      United States Treasury Bill   1.805%  08/16/18  $65,002 
        TOTAL TREASURY DEBT           65,002 
                      
SHARES      COMPANY          
 
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 0.8%
 210,412,764 c   State Street Navigator Securities Lending Government Money Market Portfolio           210,413 
        TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES   210,413 

 

          TOTAL SHORT-TERM INVESTMENTS       275,415 
          (Cost $275,414)             
          TOTAL INVESTMENTS - 100.5%       26,999,603 
          (Cost $20,005,773)             
          OTHER ASSETS & LIABILITIES, NET - (0.5)%        (156,720)
          NET ASSETS - 100.0%          $26,842,883 

       
       
    Abbreviation(s):
    ADR American Depositary Receipt

 

*   Non-income producing
c   Investments made with cash collateral received from securities on loan.
e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $204,741,000.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/18, the aggregate value of these securities was $26,394,000 or 0.1% of net assets.
m   Indicates a security that has been deemed illiquid.
     
    Cost amounts are in thousands.

270

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

COLLEGE RETIREMENT EQUITIES FUND

EQUITY INDEX ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2018

 

SHARES     COMPANY  VALUE
(000)
 
       
COMMON STOCKS - 99.6%      
                
AUTOMOBILES & COMPONENTS - 0.9%        
 60,563     Adient plc  $2,979 
 60,325  *  American Axle & Manufacturing Holdings, Inc   939 
 144,549     BorgWarner, Inc   6,239 
 37,696     Cooper Tire & Rubber Co   991 
 12,534  *  Cooper-Standard Holding, Inc   1,638 
 105,026     Dana Holding Corp   2,120 
 180,987     Delphi Automotive plc   16,584 
 19,677  *  Dorman Products, Inc   1,344 
 2,644,858     Ford Motor Co   29,279 
 25,297  *  Fox Factory Holding Corp   1,178 
 889,905     General Motors Co   35,062 
 199,630     Gentex Corp   4,595 
 26,543  *  Gentherm, Inc   1,043 
 163,116     Goodyear Tire & Rubber Co   3,799 
 115,779     Harley-Davidson, Inc   4,872 
 17,506     LCI Industries, Inc   1,578 
 45,774     Lear Corp   8,505 
 36,302  *  Modine Manufacturing Co   662 
 13,147  *,e  Motorcar Parts of America, Inc   246 
 5,808  *  Shiloh Industries, Inc   51 
 24,709     Spartan Motors, Inc   373 
 15,087     Standard Motor Products, Inc   729 
 20,247  *  Stoneridge, Inc   711 
 17,815     Superior Industries International, Inc   319 
 28,062     Tenneco, Inc   1,234 
 92,464  *,e  Tesla, Inc   31,711 
 35,644     Thor Industries, Inc   3,471 
 15,398     Tower International, Inc   490 
 22,699  *  Visteon Corp   2,934 
 22,457     Winnebago Industries, Inc   912 
       TOTAL AUTOMOBILES & COMPONENTS   166,588 
                
BANKS - 6.5%        
 12,408     1st Source Corp   663 
 10,115     Access National Corp   289 
 4,570     ACNB Corp   156 
 7,958  *  Allegiance Bancshares, Inc   345 
 5,882     American National Bankshares, Inc   235 
 26,136     Ameris Bancorp   1,394 
 7,069     Ames National Corp   218 
 7,945     Arrow Financial Corp   289 
 125,355     Associated Banc-Corp   3,422 
 14,762  *  Atlantic Capital Bancshares, Inc   290 
 31,112  e  Banc of California, Inc   608 
271

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 11,574     Bancfirst Corp  $685 
 62,103     BancorpSouth Bank   2,046 
 6,456,294     Bank of America Corp   182,003 
 11,787     Bank of Commerce Holdings   150 
 30,867     Bank of Hawaii Corp   2,575 
 3,864     Bank of Marin Bancorp   312 
 36,956     Bank of NT Butterfield & Son Ltd   1,690 
 82,422     Bank of the Ozarks, Inc   3,712 
 12,265     BankFinancial Corp   216 
 74,384     BankUnited   3,039 
 3,897     Bankwell Financial Group, Inc   125 
 23,725     Banner Corp   1,427 
 11,016     Bar Harbor Bankshares   334 
 6,936  *  Baycom Corp   172 
 531,796     BB&T Corp   26,824 
 7,059     BCB Bancorp, Inc   106 
 51,465     Beneficial Bancorp, Inc   834 
 22,749     Berkshire Hills Bancorp, Inc   924 
 17,706     Blue Hills Bancorp, Inc   393 
 43,167  *,e  BofI Holding, Inc   1,766 
 18,057     BOK Financial Corp   1,698 
 59,217     Boston Private Financial Holdings, Inc   942 
 13,328     Bridge Bancorp, Inc   479 
 54,590     Brookline Bancorp, Inc   1,015 
 12,987     Bryn Mawr Bank Corp   601 
 6,346  *  BSB Bancorp, Inc   218 
 6,436  e  Business First Bancshares, Inc   170 
 5,576  *  Byline Bancorp, Inc   125 
 2,353     C&F Financial Corp   147 
 31,825     Cadence BanCorp   919 
 2,502  e  Cambridge Bancorp   217 
 11,436     Camden National Corp   523 
 9,158     Capital City Bank Group, Inc   216 
 92,364     Capitol Federal Financial   1,216 
 5,956  *  Capstar Financial Holdings, Inc   110 
 10,298     Carolina Financial Corp   442 
 54,668     Cathay General Bancorp   2,214 
 12,633  e  CBTX, Inc   418 
 43,480     Centerstate Banks of Florida, Inc   1,297 
 21,511     Central Pacific Financial Corp   616 
 6,214     Central Valley Community Bancorp   131 
 2,245     Century Bancorp, Inc   172 
 9,348     Charter Financial Corp   226 
 48,933     Chemical Financial Corp   2,724 
 2,189     Chemung Financial Corp   110 
 85,835     CIT Group, Inc   4,327 
 1,742,564     Citigroup, Inc   116,612 
 9,568     Citizens & Northern Corp   247 
 339,069     Citizens Financial Group, Inc   13,190 
 10,955     City Holding Co   824 
 7,262  e  Civista Bancshares, Inc   176 
 9,772     CNB Financial Corp   294 
 26,184     CoBiz, Inc   562 
 6,146     Codorus Valley Bancorp, Inc   189 
272

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 51,998     Columbia Banking System, Inc  $2,127 
 33,673  *,e  Columbia Financial, Inc   557 
 120,059     Comerica, Inc   10,916 
 64,713     Commerce Bancshares, Inc   4,188 
 4,712  e  Commerce Union Bancshares, Inc   132 
 35,397     Community Bank System, Inc   2,091 
 15,668  *  Community Bankers Trust Corp   140 
 2,846     Community Financial Corp   101 
 11,638     Community Trust Bancorp, Inc   581 
 21,722     ConnectOne Bancorp, Inc   541 
 3,700     County Bancorp, Inc   102 
 38,938     Cullen/Frost Bankers, Inc   4,215 
 19,196  *  Customers Bancorp, Inc   545 
 75,634     CVB Financial Corp   1,696 
 23,810     Dime Community Bancshares   464 
 22,688  *  Eagle Bancorp, Inc   1,391 
 93,759     East West Bancorp, Inc   6,113 
 4,525  *  Entegra Financial Corp   133 
 6,481     Enterprise Bancorp, Inc   262 
 16,077     Enterprise Financial Services Corp   867 
 7,477  *  Equity Bancshares, Inc   310 
 6,121     ESSA Bancorp, Inc   97 
 55,323  *  Essent Group Ltd   1,982 
 3,168     Evans Bancorp, Inc   146 
 6,654  e  Farmers & Merchants Bancorp, Inc   268 
 5,336     Farmers Capital Bank Corp   278 
 18,150     Farmers National Banc Corp   289 
 4,563     FB Financial Corp   186 
 25,303  *  FCB Financial Holdings, Inc   1,488 
 6,481     Federal Agricultural Mortgage Corp (Class C)   580 
 15,456     Fidelity Southern Corp   393 
 467,709     Fifth Third Bancorp   13,423 
 10,211     Financial Institutions, Inc   336 
 20,427     First Bancorp (NC)   836 
 114,850  *  First Bancorp (Puerto Rico)   879 
 6,485     First Bancorp, Inc   183 
 6,018     First Bancshares, Inc   216 
 26,747     First Busey Corp   848 
 6,176     First Business Financial Services, Inc   161 
 5,135     First Citizens Bancshares, Inc (Class A)   2,071 
 69,402     First Commonwealth Financial Corp   1,076 
 12,139     First Community Bancshares, Inc   387 
 10,568     First Connecticut Bancorp   323 
 7,726     First Defiance Financial Corp   518 
 68,200     First Financial Bancorp   2,090 
 46,159  e  First Financial Bankshares, Inc   2,350 
 8,330     First Financial Corp   378 
 6,257     First Financial Northwest, Inc   122 
 19,660  *  First Foundation, Inc   365 
 3,022  e  First Guaranty Bancshares, Inc   79 
 38,811     First Hawaiian, Inc   1,126 
 220,520     First Horizon National Corp   3,934 
 4,089     First Internet Bancorp   139 
273

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 18,329     First Interstate Bancsystem, Inc  $773 
 29,933     First Merchants Corp   1,389 
 7,120     First Mid-Illinois Bancshares, Inc   280 
 73,424     First Midwest Bancorp, Inc   1,870 
 7,602  *  First Northwest Bancorp   121 
 15,462     First of Long Island Corp   384 
 107,798     First Republic Bank   10,434 
 15,789  *  Flagstar Bancorp, Inc   541 
 20,105     Flushing Financial Corp   525 
 3,521     FNB Bancorp   129 
 228,101     FNB Corp   3,061 
 8,854  *  Franklin Financial Network, Inc   333 
 119,869     Fulton Financial Corp   1,978 
 14,703     German American Bancorp, Inc   527 
 55,696     Glacier Bancorp, Inc   2,154 
 7,809     Great Southern Bancorp, Inc   447 
 42,914     Great Western Bancorp, Inc   1,802 
 14,667     Green Bancorp, Inc   317 
 2,003  e  Greene County Bancorp, Inc   68 
 16,942     Guaranty Bancorp   505 
 1,224     Guaranty Bancshares, Inc   40 
 59,807     Hancock Holding Co   2,790 
 23,963     Hanmi Financial Corp   679 
 9,284  *  HarborOne Bancorp, Inc   176 
 17,800     Heartland Financial USA, Inc   976 
 25,661     Heritage Commerce Corp   436 
 22,188     Heritage Financial Corp   773 
 54,190     Hilltop Holdings, Inc   1,196 
 997     Hingham Institution for Savings   219 
 4,264     Home Bancorp, Inc   198 
 112,204     Home Bancshares, Inc   2,531 
 15,022  *  HomeStreet, Inc   405 
 13,541  *  HomeTrust Bancshares, Inc   381 
 93,574     Hope Bancorp, Inc   1,668 
 23,268     Horizon Bancorp   481 
 6,001  *  Howard Bancorp, Inc   108 
 740,418     Huntington Bancshares, Inc   10,929 
 35,117     IBERIABANK Corp   2,662 
 6,123  *,e  Impac Mortgage Holdings, Inc   58 
 19,246     Independent Bank Corp (MA)   1,509 
 17,558     Independent Bank Corp (MI)   448 
 12,630     Independent Bank Group, Inc   844 
 40,567     International Bancshares Corp   1,736 
 5,550     Investar Holding Corp   153 
 186,863     Investors Bancorp, Inc   2,390 
 2,314,565     JPMorgan Chase & Co   241,178 
 83,674     Kearny Financial Corp   1,125 
 721,034     Keycorp   14,089 
 32,502     Lakeland Bancorp, Inc   645 
 18,387     Lakeland Financial Corp   886 
 6,780     LCNB Corp   134 
 33,647     LegacyTexas Financial Group, Inc   1,313 
 4,628  *,e  LendingTree, Inc   989 
 14,926     Live Oak Bancshares, Inc   457 
274

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 98,813     M&T Bank Corp  $16,813 
 19,210     Macatawa Bank Corp   233 
 4,666  *  Malvern Bancorp, Inc   114 
 58,413     MB Financial, Inc   2,728 
 13,586     MBT Financial Corp   145 
 12,428     Mercantile Bank Corp   459 
 10,918     Merchants Bancorp   311 
 35,757     Meridian Bancorp, Inc   685 
 6,858     Meta Financial Group, Inc   668 
 4,420  *  Metropolitan Bank Holding Corp   232 
 258,262  *  MGIC Investment Corp   2,769 
 1,778     Middlefield Banc Corp   90 
 10,800     Midland States Bancorp, Inc   370 
 6,195     Midsouth Bancorp, Inc   82 
 7,821     MidWestOne Financial Group, Inc   264 
 3,816     MutualFirst Financial, Inc   144 
 19,324     National Bank Holdings Corp   746 
 5,351  e  National Bankshares, Inc   248 
 7,588  *  National Commerce Corp   351 
 20,936  *  Nationstar Mortgage Holdings, Inc   367 
 31,726     NBT Bancorp, Inc   1,210 
 305,096     New York Community Bancorp, Inc   3,368 
 6,480  *  Nicolet Bankshares, Inc   357 
 38,864  *  NMI Holdings, Inc   633 
 5,235     Northeast Bancorp   114 
 33,024     Northfield Bancorp, Inc   549 
 5,019     Northrim BanCorp, Inc   199 
 69,442     Northwest Bancshares, Inc   1,208 
 4,425     Norwood Financial Corp   159 
 30,487     OceanFirst Financial Corp   913 
 33,903  e  OFG Bancorp   476 
 3,155  e  Ohio Valley Banc Corp   165 
 6,461     Old Line Bancshares, Inc   226 
 90,192     Old National Bancorp   1,678 
 21,667     Old Second Bancorp, Inc   312 
 14,808     Opus Bank   425 
 11,057     Origin Bancorp, Inc   453 
 26,521     Oritani Financial Corp   430 
 5,318     Orrstown Financial Services, Inc   138 
 11,579  *  Pacific Mercantile Bancorp   113 
 28,237  *  Pacific Premier Bancorp, Inc   1,077 
 81,519     PacWest Bancorp   4,029 
 9,690     Park National Corp   1,080 
 4,177     Parke Bancorp, Inc   99 
 13,465     PCSB Financial Corp   268 
 11,582     Peapack Gladstone Financial Corp   401 
 2,964     Penns Woods Bancorp, Inc   133 
 9,540  *  PennyMac Financial Services, Inc   187 
 3,256  e  Peoples Bancorp of North Carolina, Inc   104 
 12,623     Peoples Bancorp, Inc   477 
 5,712     Peoples Financial Services Corp   269 
 221,952     People’s United Financial, Inc   4,015 
 9,341     People’s Utah Bancorp   333 
275

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 36,552  *  PHH Corp  $397 
 50,971     Pinnacle Financial Partners, Inc   3,127 
 320,460     PNC Financial Services Group, Inc   43,294 
 72,890     Popular, Inc   3,295 
 8,859     Preferred Bank   544 
 8,456     Premier Financial Bancorp, Inc   158 
 48,016     Prosperity Bancshares, Inc   3,282 
 3,260  *  Provident Bancorp, Inc   85 
 45,191     Provident Financial Services, Inc   1,244 
 6,101     Prudential Bancorp, Inc   118 
 8,729     QCR Holdings, Inc   414 
 152,459     Radian Group, Inc   2,473 
 9,265     RBB Bancorp   298 
 772,545     Regions Financial Corp   13,736 
 30,881     Renasant Corp   1,406 
 6,104     Republic Bancorp, Inc (Class A)   277 
 34,776  *  Republic First Bancorp, Inc   273 
 13,238     Riverview Bancorp, Inc   112 
 25,676     S&T Bancorp, Inc   1,110 
 22,606     Sandy Spring Bancorp, Inc   927 
 28,631  *  Seacoast Banking Corp of Florida   904 
 32,848     ServisFirst Bancshares, Inc   1,371 
 8,913     Shore Bancshares, Inc   170 
 8,511     SI Financial Group, Inc   126 
 8,919     Sierra Bancorp   252 
 38,410  *  Signature Bank   4,912 
 55,218     Simmons First National Corp (Class A)   1,651 
 5,382  *  SmartFinancial, Inc   139 
 24,776     South State Corp   2,137 
 4,079  *  Southern First Bancshares, Inc   180 
 4,139     Southern Missouri Bancorp, Inc   162 
 8,140     Southern National Bancorp of Virginia, Inc   145 
 20,042     Southside Bancshares, Inc   675 
 26,403     State Bank & Trust Co   882 
 11,631     Sterling Bancorp, Inc   155 
 151,652     Sterling Bancorp/DE   3,564 
 16,305     Stock Yards Bancorp, Inc   622 
 6,101     Summit Financial Group, Inc   164 
 317,024     SunTrust Banks, Inc   20,930 
 35,867  *  SVB Financial Group   10,357 
 76,607     Synovus Financial Corp   4,047 
 116,646     TCF Financial Corp   2,872 
 5,870     Territorial Bancorp, Inc   182 
 35,836  *  Texas Capital Bancshares, Inc   3,279 
 34,383     TFS Financial Corp   542 
 35,393  *  The Bancorp, Inc   370 
 4,645     Timberland Bancorp, Inc   173 
 10,641     Tompkins Trustco, Inc   914 
 46,422     TowneBank   1,490 
 15,762     Trico Bancshares   590 
 16,178  *  Tristate Capital Holdings, Inc   422 
 10,668  *  Triumph Bancorp, Inc   435 
 71,043     Trustco Bank Corp NY   632 
 49,168     Trustmark Corp   1,604 
276

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 26,057     UMB Financial Corp  $1,986 
 161,706     Umpqua Holdings Corp   3,653 
 34,740     Union Bankshares Corp   1,351 
 2,885  e  Union Bankshares, Inc   150 
 72,013     United Bankshares, Inc   2,621 
 51,942     United Community Banks, Inc   1,593 
 34,307     United Community Financial Corp   377 
 36,948     United Financial Bancorp, Inc (New)   647 
 9,461     United Security Bancshares   106 
 5,346     Unity Bancorp, Inc   122 
 19,117     Univest Corp of Pennsylvania   526 
 1,050,202     US Bancorp   52,531 
 216,752     Valley National Bancorp   2,636 
 10,468  *  Veritex Holdings, Inc   325 
 19,235     Walker & Dunlop, Inc   1,070 
 50,737     Washington Federal, Inc   1,659 
 10,818     Washington Trust Bancorp, Inc   629 
 19,189     Waterstone Financial, Inc   327 
 67,195     Webster Financial Corp   4,280 
 3,000,439     Wells Fargo & Co   166,344 
 30,103     WesBanco, Inc   1,356 
 11,970     West Bancorporation, Inc   301 
 18,981  e  Westamerica Bancorporation   1,073 
 68,448  *  Western Alliance Bancorp   3,875 
 19,137     Western New England Bancorp, Inc   211 
 38,890     Wintrust Financial Corp   3,385 
 144,782  *,e  WMIH Corp   194 
 21,617     WSFS Financial Corp   1,152 
 132,437     Zions Bancorporation   6,978 
       TOTAL BANKS   1,246,363 
       
CAPITAL GOODS - 7.2%      
 394,025     3M Co   77,513 
 93,763     A.O. Smith Corp   5,546 
 29,877     Aaon, Inc   993 
 23,226     AAR Corp   1,080 
 43,959     Actuant Corp (Class A)   1,290 
 28,754     Acuity Brands, Inc   3,332 
 24,758     Advanced Drainage Systems, Inc   707 
 110,795  *  Aecom Technology Corp   3,660 
 24,436  *  Aegion Corp   629 
 49,582  *  Aerojet Rocketdyne Holdings, Inc   1,462 
 14,335  *  Aerovironment, Inc   1,024 
 48,271     AGCO Corp   2,931 
 69,836     Air Lease Corp   2,931 
 13,921     Aircastle Ltd   285 
 6,904     Alamo Group, Inc   624 
 21,082     Albany International Corp (Class A)   1,268 
 64,745     Allegion plc   5,009 
 4,493     Allied Motion Technologies, Inc   215 
 80,231     Allison Transmission Holdings, Inc   3,249 
 20,276     Altra Holdings, Inc   874 
 13,776  *  Ameresco, Inc   165 
277

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
           
 2,958  e  American Railcar Industries, Inc  $117 
 10,171  *  American Woodmark Corp   931 
 155,304     Ametek, Inc   11,207 
 20,270     Apogee Enterprises, Inc   976 
 27,154     Applied Industrial Technologies, Inc   1,905 
 301,530     Arconic, Inc   5,129 
 10,471     Argan, Inc   429 
 17,658  *  Armstrong Flooring, Inc   248 
 31,329  *  Armstrong World Industries, Inc   1,980 
 15,250     Astec Industries, Inc   912 
 15,755  *  Astronics Corp   567 
 23,836  *  Atkore International Group, Inc   495 
 35,579  *  Axon Enterprise, Inc   2,248 
 19,364     AZZ, Inc   841 
 36,264     Barnes Group, Inc   2,136 
 41,684  *  Beacon Roofing Supply, Inc   1,777 
 3,967  *,e  Blue Bird Corp   89 
 6,034  *,e  BlueLinx Holdings, Inc   226 
 47,040  *  BMC Stock Holdings, Inc   981 
 375,250     Boeing Co   125,900 
 30,438     Briggs & Stratton Corp   536 
 67,070  *  Builders FirstSource, Inc   1,227 
 66,179     BWX Technologies, Inc   4,124 
 14,163  e  Caesarstone Sdot-Yam Ltd   214 
 8,775  *  CAI International, Inc   204 
 41,051     Carlisle Cos, Inc   4,446 
 396,345     Caterpillar, Inc   53,772 
 22,344  *  Chart Industries, Inc   1,378 
 12,045     CIRCOR International, Inc   445 
 64,286  *  Colfax Corp   1,970 
 14,727     Columbus McKinnon Corp   639 
 24,840     Comfort Systems USA, Inc   1,138 
 18,016  *  Commercial Vehicle Group, Inc   132 
 28,296  *  Continental Building Products Inc   893 
 35,446     Crane Co   2,840 
 10,574  *  CSW Industrials, Inc   559 
 18,660     Cubic Corp   1,198 
 104,217     Cummins, Inc   13,861 
 31,189     Curtiss-Wright Corp   3,712 
 221,865     Deere & Co   31,017 
 9,586     DMC Global, Inc   430 
 81,746     Donaldson Co, Inc   3,688 
 16,771     Douglas Dynamics, Inc   805 
 105,247     Dover Corp   7,704 
 8,048  *  Ducommun, Inc   266 
 11,117  *  DXP Enterprises, Inc   425 
 16,954  *  Dycom Industries, Inc   1,602 
 3,733     Eastern Co   105 
 300,722     Eaton Corp   22,476 
 35,403     EMCOR Group, Inc   2,697 
 428,516     Emerson Electric Co   29,628 
 15,305     Encore Wire Corp   726 
 11,608  *,e  Energous Corp   172 
 24,905  *,e  Energy Recovery, Inc   201 
278

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 31,570     EnerSys  $2,356 
 12,394  *  Engility Holdings, Inc   380 
 58,642  *  Enphase Energy, Inc   395 
 15,803     EnPro Industries, Inc   1,105 
 2,576     EnviroStar, Inc   104 
 81,459     Equifax, Inc   10,191 
 18,556     ESCO Technologies, Inc   1,071 
 18,922  *  Esterline Technologies Corp   1,396 
 51,314  *  Evoqua Water Technologies Corp   1,052 
 196,957     Fastenal Co   9,480 
 42,557     Federal Signal Corp   991 
 94,563     Flowserve Corp   3,820 
 101,648     Fluor Corp   4,958 
 206,982     Fortive Corp   15,960 
 99,180     Fortune Brands Home & Security, Inc   5,325 
 9,256  *  Foundation Building Materials, Inc   142 
 34,098     Franklin Electric Co, Inc   1,538 
 9,868     Freightcar America, Inc   166 
 72,418  *  Gardner Denver Holdings, Inc   2,128 
 30,738  *  Gates Industrial Corp plc   500 
 28,224  e  GATX Corp   2,095 
 4,980  *  Gencor Industries, Inc   80 
 41,949  *  Generac Holdings, Inc   2,170 
 175,649     General Dynamics Corp   32,743 
 5,888,439     General Electric Co   80,142 
 22,869  *  Gibraltar Industries, Inc   858 
 16,574     Global Brass & Copper Holdings, Inc   520 
 17,148  *  GMS, Inc   465 
 14,132     Gorman-Rupp Co   495 
 117,129     Graco, Inc   5,297 
 26,067  e  GrafTech International Ltd   469 
 7,763     Graham Corp   200 
 33,088     Granite Construction, Inc   1,842 
 44,924  *  Great Lakes Dredge & Dock Corp   236 
 19,838     Greenbrier Cos, Inc   1,046 
 20,793     Griffon Corp   370 
 23,777     H&E Equipment Services, Inc   894 
 79,494     Harris Corp   11,490 
 59,172  *  Harsco Corp   1,308 
 26,381  *  HC2 Holdings, Inc   154 
 131,941  *  HD Supply Holdings, Inc   5,659 
 26,390     HEICO Corp   1,925 
 54,544     HEICO Corp (Class A)   3,324 
 17,889  *  Herc Holdings, Inc   1,008 
 57,257     Hexcel Corp   3,801 
 44,280     Hillenbrand, Inc   2,088 
 509,131     Honeywell International, Inc   73,340 
 38,998     Hubbell, Inc   4,124 
 30,695     Huntington Ingalls   6,654 
 4,796     Hurco Cos, Inc   215 
 7,224     Hyster-Yale Materials Handling, Inc   464 
 49,969     IDEX Corp   6,820 
 5,334  *  IES Holdings, Inc   89 
279

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 230,495     Illinois Tool Works, Inc  $31,933 
 172,194     Ingersoll-Rand plc   15,451 
 13,472     Insteel Industries, Inc   450 
 62,449     ITT, Inc   3,264 
 85,068     Jacobs Engineering Group, Inc   5,401 
 47,393  *  JELD-WEN Holding, Inc   1,355 
 22,550     John Bean Technologies Corp   2,005 
 630,904     Johnson Controls International plc   21,104 
 8,084     Kadant, Inc   777 
 17,941     Kaman Corp   1,250 
 104,383     KBR, Inc   1,871 
 56,290     Kennametal, Inc   2,021 
 35,741  *,e  KEYW Holding Corp, The   312 
 37,311  *  KLX, Inc   2,683 
 50,983  *,e  Kratos Defense & Security Solutions, Inc   587 
 52,610     L3 Technologies, Inc   10,118 
 4,456  *  Lawson Products, Inc   108 
 5,677  *  LB Foster Co (Class A)   130 
 25,151     Lennox International, Inc   5,034 
 42,666     Lincoln Electric Holdings, Inc   3,744 
 7,273     Lindsay Corp   705 
 168,960     Lockheed Martin Corp   49,916 
 12,223  *  Lydall, Inc   534 
 22,630  *  Manitowoc Co, Inc   585 
 215,988     Masco Corp   8,082 
 18,516  *  Masonite International Corp   1,330 
 48,078  *  Mastec, Inc   2,440 
 38,365     Maxar Technologies Ltd   1,938 
 33,690  *  Mercury Systems, Inc   1,282 
 60,412  *  Meritor, Inc   1,243 
 35,939  *,e  Middleby Corp   3,753 
 31,692  *  Milacron Holdings Corp   600 
 7,280     Miller Industries, Inc   186 
 22,998     Moog, Inc (Class A)   1,793 
 64,419  *  MRC Global, Inc   1,396 
 31,901     MSC Industrial Direct Co (Class A)   2,707 
 40,743     Mueller Industries, Inc   1,202 
 104,855     Mueller Water Products, Inc (Class A)   1,229 
 10,993  *  MYR Group, Inc   390 
 3,534  e  National Presto Industries, Inc   438 
 35,673  *  Navistar International Corp   1,453 
 29,151  *  NCI Building Systems, Inc   612 
 18,421  *  Nexeo Solutions, Inc   168 
 19,066     NN, Inc   360 
 37,392     Nordson Corp   4,802 
 110,819     Northrop Grumman Corp   34,099 
 6,891  *  Northwest Pipe Co   133 
 78,206  *,e  NOW, Inc   1,042 
 5,211  *  NV5 Holdings, Inc   361 
 110,096  *  nVent Electric plc   2,763 
 2,354     Omega Flex, Inc   186 
 19,593  *  Orion Marine Group, Inc   162 
 53,964     Oshkosh Truck Corp   3,795 
 74,736     Owens Corning, Inc   4,736 
280

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 234,282     PACCAR, Inc  $14,516 
 91,690     Parker-Hannifin Corp   14,290 
 17,097  *  Patrick Industries, Inc   972 
 110,096     Pentair plc   4,633 
 36,380  *  PGT, Inc   759 
 159,236  *,e  Plug Power, Inc   322 
 7,077     Powell Industries, Inc   246 
 1,801     Preformed Line Products Co   160 
 28,783     Primoris Services Corp   784 
 18,284  *  Proto Labs, Inc   2,175 
 25,291     Quanex Building Products Corp   454 
 106,691  *  Quanta Services, Inc   3,563 
 25,955     Raven Industries, Inc   998 
 196,134     Raytheon Co   37,889 
 16,634  *  RBC Bearings, Inc   2,143 
 32,248     Regal-Beloit Corp   2,638 
 8,757  e  REV Group, Inc   149 
 75,228  *  Rexnord Corp   2,186 
 85,406     Rockwell Automation, Inc   14,197 
 111,857     Rockwell Collins, Inc   15,065 
 68,307     Roper Industries, Inc   18,847 
 4,597  *  Rush Enterprises, Inc   202 
 21,510  *  Rush Enterprises, Inc (Class A)   933 
 112,005  *  Sensata Technologies Holding plc   5,329 
 29,530     Simpson Manufacturing Co, Inc   1,836 
 24,415  *  SiteOne Landscape Supply, Inc   2,050 
 37,636     Snap-On, Inc   6,049 
 7,959  *  Sparton Corp   151 
 80,000     Spirit Aerosystems Holdings, Inc (Class A)   6,873 
 30,406  *  SPX Corp   1,066 
 29,148  *  SPX FLOW, Inc   1,276 
 8,333     Standex International Corp   852 
 103,756     Stanley Works   13,780 
 18,886  *  Sterling Construction Co, Inc   246 
 16,194     Sun Hydraulics Corp   780 
 60,603  *  Sunrun, Inc   797 
 25,120  *  Teledyne Technologies, Inc   5,000 
 12,744     Tennant Co   1,007 
 54,792     Terex Corp   2,312 
 18,852  *  Textainer Group Holdings Ltd   300 
 174,867     Textron, Inc   11,525 
 24,419  *  Thermon Group Holdings   558 
 50,165     Timken Co   2,185 
 33,155     Titan International, Inc   356 
 11,613  *  Titan Machinery, Inc   181 
 65,756     Toro Co   3,962 
 7,431  *  TPI Composites, Inc   217 
 32,971     TransDigm Group, Inc   11,380 
 40,670  *  Trex Co, Inc   2,546 
 34,233  *  Trimas Corp   1,006 
 108,898     Trinity Industries, Inc   3,731 
 30,588     Triton International Ltd   938 
 32,779     Triumph Group, Inc   642 
281

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 27,269  *  Tutor Perini Corp  $503 
 6,567  *  Twin Disc, Inc   163 
 58,124  *  United Rentals, Inc   8,580 
 512,615     United Technologies Corp   64,092 
 74,230  *  Univar, Inc   1,948 
 44,298     Universal Forest Products, Inc   1,622 
 51,264  *  USG Corp   2,210 
 15,302     Valmont Industries, Inc   2,307 
 7,860  *  Vectrus, Inc   242 
 7,828  *  Veritiv Corp   312 
 12,845  *  Vicor Corp   559 
 31,005     W.W. Grainger, Inc   9,562 
 42,603     Wabash National Corp   795 
 36,503  *  WABCO Holdings, Inc   4,272 
 60,858     Wabtec Corp   5,999 
 21,705     Watsco, Inc   3,870 
 18,825     Watts Water Technologies, Inc (Class A)   1,476 
 88,290  *  Welbilt, Inc   1,970 
 39,330  *  Wesco Aircraft Holdings, Inc   442 
 34,751  *  WESCO International, Inc   1,984 
 3,392  *  Willis Lease Finance Corp   107 
 22,097  *  Willscot Corp   327 
 37,561     Woodward Governor Co   2,887 
 121,024     Xylem, Inc   8,155 
       TOTAL CAPITAL GOODS   1,382,009 
        
COMMERCIAL & PROFESSIONAL SERVICES - 1.0%       
 40,285     ABM Industries, Inc   1,176 
 37,820  *  Acacia Research (Acacia Technologies)   157 
 77,675     ACCO Brands Corp   1,076 
 72,860  e  ADT, Inc   630 
 49,123  *  Advanced Disposal Services, Inc   1,217 
 5,145     Barrett Business Services, Inc   497 
 4,266     BG Staffing, Inc   99 
 33,472     Brady Corp (Class A)   1,290 
 33,001     Brink’s Co   2,632 
 29,675  *  Casella Waste Systems, Inc (Class A)   760 
 35,493  *  CBIZ, Inc   816 
 18,496     Ceco Environmental Corp   114 
 14,958  *  Cimpress NV   2,168 
 57,986     Cintas Corp   10,732 
 38,542  *  Clean Harbors, Inc   2,141 
 138,147  *  Copart, Inc   7,814 
 23,688  *  CoStar Group, Inc   9,774 
 84,474     Covanta Holding Corp   1,394 
 7,013     CRA International, Inc   357 
 27,694     Deluxe Corp   1,834 
 25,970     Dun & Bradstreet Corp   3,185 
 107,512  *,†,m  Dyax Corp   119 
 20,052     Ennis, Inc   408 
 28,344     Essendant, Inc   375 
 36,012     Exponent, Inc   1,739 
 7,582     Forrester Research, Inc   318 
 7,620  *  Franklin Covey Co   187 
282

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 25,416  *  FTI Consulting, Inc  $1,537 
 9,864  *  GP Strategies Corp   174 
 49,914  e  Healthcare Services Group   2,156 
 14,300     Heidrick & Struggles International, Inc   501 
 8,893  *  Heritage-Crystal Clean, Inc   179 
 43,782     Herman Miller, Inc   1,484 
 25,556  *  Hill International, Inc   151 
 31,637     HNI Corp   1,177 
 15,850  *  Huron Consulting Group, Inc   648 
 13,124     ICF International, Inc   933 
 258,425  *  IHS Markit Ltd   13,332 
 32,837  *  Innerworkings, Inc   285 
 25,976     Insperity, Inc   2,474 
 44,581     Interface, Inc   1,023 
 88,200     KAR Auction Services, Inc   4,833 
 20,372     Kelly Services, Inc (Class A)   457 
 18,302     Kforce, Inc   628 
 25,171     Kimball International, Inc (Class B)   407 
 35,963     Knoll, Inc   748 
 37,013     Korn/Ferry International   2,292 
 23,849     LSC Communications, Inc   374 
 43,803     Manpower, Inc   3,770 
 22,585     Matthews International Corp (Class A)   1,328 
 17,061     McGrath RentCorp   1,080 
 80,085  *,†,m  Media General, Inc   0 
 13,300  *  Mistras Group, Inc   251 
 31,645     Mobile Mini, Inc   1,484 
 24,011     MSA Safety, Inc   2,313 
 9,774     Multi-Color Corp   632 
 33,798  *  Navigant Consulting, Inc   748 
 243,950     Nielsen NV   7,545 
 4,961  *  NL Industries, Inc   43 
 36,708  *  On Assignment, Inc   2,870 
 133,127     Pitney Bowes, Inc   1,141 
 21,796     Quad Graphics, Inc   454 
 149,406     Republic Services, Inc   10,213 
 20,546     Resources Connection, Inc   347 
 79,304     Robert Half International, Inc   5,163 
 66,866     Rollins, Inc   3,516 
 51,083     RR Donnelley & Sons Co   294 
 12,140  *  SP Plus Corp   452 
 61,807     Steelcase, Inc (Class A)   834 
 60,073  *  Stericycle, Inc   3,922 
 20,907  *,e  Team, Inc   483 
 41,281     Tetra Tech, Inc   2,415 
 124,580     TransUnion   8,925 
 30,336  *  TriNet Group, Inc   1,697 
 30,958  *  TrueBlue, Inc   834 
 11,006     Unifirst Corp   1,947 
 16,280     US Ecology, Inc   1,037 
 109,441  *  Verisk Analytics, Inc   11,780 
 15,178     Viad Corp   824 
 5,586     VSE Corp   267 
283

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 26,743  *  WageWorks, Inc  $1,337 
 294,394     Waste Management, Inc   23,946 
 5,398  *  Willdan Group, Inc   167 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES   192,861 
         
CONSUMER DURABLES & APPAREL - 1.4%        
 15,286     Acushnet Holdings Corp   374 
 39,523  *  American Outdoor Brands Corp   475 
 7,681     Bassett Furniture Industries, Inc   212 
 21,459  *  Beazer Homes USA, Inc   317 
 54,098     Brunswick Corp   3,488 
 69,841     Callaway Golf Co   1,325 
 33,604     Carter’s, Inc   3,642 
 6,102  *  Cavco Industries, Inc   1,267 
 13,611  *  Century Communities, Inc   429 
 14,228  *  Clarus Corp   117 
 19,279     Columbia Sportswear Co   1,763 
 45,716  *  CROCS, Inc   805 
 6,895     Culp, Inc   169 
 22,861  *  Deckers Outdoor Corp   2,581 
 235,652     DR Horton, Inc   9,662 
 7,865     Escalade, Inc   111 
 18,783     Ethan Allen Interiors, Inc   460 
 5,531     Flexsteel Industries, Inc   221 
 31,215  *,e  Fossil Group, Inc   839 
 77,803     Garmin Ltd   4,746 
 30,360  *  G-III Apparel Group Ltd   1,348 
 74,136  *,e  GoPro, Inc   477 
 16,535  *  Green Brick Partners, Inc   162 
 6,360     Hamilton Beach Brands Holding Co   185 
 244,655  e  Hanesbrands, Inc   5,387 
 74,516     Hasbro, Inc   6,879 
 19,658  *  Helen of Troy Ltd   1,935 
 7,913     Hooker Furniture Corp   371 
 93,175  *  Hovnanian Enterprises, Inc (Class A)   152 
 13,822  *  Installed Building Products Inc   782 
 18,443  *,e  iRobot Corp   1,397 
 3,583     Johnson Outdoors, Inc   303 
 60,650     KB Home   1,652 
 36,137     La-Z-Boy, Inc   1,106 
 94,275     Leggett & Platt, Inc   4,208 
 11,279     Lennar Corp (B Shares)   482 
 192,669     Lennar Corp (Class A)   10,115 
 12,635  *,e  LGI Homes, Inc   729 
 7,210     Lifetime Brands, Inc   91 
 66,891  *  Lululemon Athletica, Inc   8,351 
 16,714  *  M/I Homes, Inc   443 
 13,092  *  Malibu Boats Inc   549 
 8,407     Marine Products Corp   150 
 246,470  e  Mattel, Inc   4,047 
 13,690  *  MCBC Holdings, Inc   396 
 30,270     MDC Holdings, Inc   931 
 26,198  *  Meritage Homes Corp   1,151 
 99,912  *  Michael Kors Holdings Ltd   6,654 
284

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 42,399  *  Mohawk Industries, Inc  $9,085 
 11,320     Movado Group, Inc   547 
 3,180     Nacco Industries, Inc (Class A)   107 
 22,756  *  Nautilus, Inc   357 
 6,504  *  New Home Co Inc   65 
 307,811     Newell Rubbermaid, Inc   7,938 
 857,067     Nike, Inc (Class B)   68,291 
 2,226  *  NVR, Inc   6,612 
 11,750     Oxford Industries, Inc   975 
 8,860  *  Perry Ellis International, Inc   241 
 38,838     Polaris Industries, Inc   4,745 
 24,507     Pool Corp   3,713 
 177,549     Pulte Homes, Inc   5,105 
 52,136     PVH Corp   7,806 
 35,853     Ralph Lauren Corp   4,507 
 29,377  *,e  Roku, Inc   1,252 
 79,579  *  Skechers U.S.A., Inc (Class A)   2,388 
 4,660     Skyline Corp   163 
 40,349     Steven Madden Ltd   2,143 
 12,383  e  Sturm Ruger & Co, Inc   693 
 5,163     Superior Uniform Group, Inc   107 
 191,265     Tapestry, Inc   8,934 
 76,342  *  Taylor Morrison Home Corp   1,586 
 33,646  *,e  Tempur Sealy International, Inc   1,617 
 96,054     Toll Brothers, Inc   3,553 
 26,487  *  TopBuild Corp   2,075 
 102,085  *  TRI Pointe Homes, Inc   1,670 
 28,980     Tupperware Corp   1,195 
 135,169  *,e  Under Armour, Inc   2,849 
 134,677  *,e  Under Armour, Inc (Class A)   3,028 
 10,905  *  Unifi, Inc   346 
 10,485  *  Universal Electronics, Inc   347 
 16,444  *  Vera Bradley, Inc   231 
 223,915     VF Corp   18,254 
 41,550  *  Vista Outdoor, Inc   644 
 5,214     Weyco Group, Inc   190 
 46,479     Whirlpool Corp   6,797 
 17,713  *  William Lyon Homes, Inc   411 
 67,978     Wolverine World Wide, Inc   2,364 
 21,026  *  Zagg, Inc   364 
       TOTAL CONSUMER DURABLES & APPAREL   276,731 
         
CONSUMER SERVICES - 2.2%        
 44,790  *  Adtalem Global Education, Inc   2,154 
 12,233  *  American Public Education, Inc   515 
 162,451     ARAMARK Holdings Corp   6,027 
 44,487     BBX Capital Corp   402 
 64,026  *  Belmond Ltd.   714 
 76  *  Biglari Holdings, Inc (A Shares)   72 
 769  *  Biglari Holdings, Inc (B Shares)   141 
 15,173     BJ’s Restaurants, Inc   910 
 44,145     Bloomin’ Brands, Inc   887 
 12,424  *  Bojangles’, Inc   179 
285

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 61,116     Boyd Gaming Corp  $2,118 
 36,213  *  Bright Horizons Family Solutions   3,713 
 34,614  e  Brinker International, Inc   1,648 
 404,805  *  Caesars Entertainment Corp   4,331 
 8,227  *  Cambium Learning Group, Inc   92 
 8,534     Capella Education Co   842 
 46,334  *  Career Education Corp   749 
 276,892     Carnival Corp   15,869 
 11,838     Carriage Services, Inc   291 
 27,792  *  Carrols Restaurant Group, Inc   413 
 16,727  *  Century Casinos, Inc   146 
 31,824  e  Cheesecake Factory   1,752 
 60,816  *  Chegg, Inc   1,690 
 16,294  *  Chipotle Mexican Grill, Inc (Class A)   7,029 
 24,500     Choice Hotels International, Inc   1,852 
 7,983     Churchill Downs, Inc   2,367 
 12,474  *  Chuy’s Holdings, Inc   383 
 13,430  e  Cracker Barrel Old Country Store, Inc   2,098 
 82,979     Darden Restaurants, Inc   8,884 
 30,312  *  Dave & Buster’s Entertainment, Inc   1,443 
 17,725  *  Del Frisco’s Restaurant Group, Inc   223 
 23,487  *  Del Taco Restaurants, Inc   333 
 41,277  *  Denny’s Corp   658 
 10,362     DineEquity, Inc   775 
 28,536     Domino’s Pizza, Inc   8,052 
 43,999  *  Drive Shack, Inc   340 
 58,182  e  Dunkin Brands Group, Inc   4,019 
 14,501  *  El Pollo Loco Holdings, Inc   165 
 44,594  *,e  Eldorado Resorts, Inc   1,744 
 2,242  *,e  Empire Resorts, Inc   44 
 117,907     Extended Stay America, Inc   2,548 
 20,469  *  Fiesta Restaurant Group, Inc   587 
 7,389  *,e  Golden Entertainment, Inc   199 
 2,966     Graham Holdings Co   1,738 
 32,189  *  Grand Canyon Education, Inc   3,593 
 129,519     H&R Block, Inc   2,950 
 14,706  *  Habit Restaurants, Inc   147 
 65,914  *  Hilton Grand Vacations, Inc   2,287 
 191,164     Hilton Worldwide Holdings, Inc   15,133 
 76,812  *  Houghton Mifflin Harcourt Co   588 
 32,335     Hyatt Hotels Corp   2,495 
 76,966     ILG, Inc   2,542 
 76,027     International Game Technology plc   1,767 
 18,045     International Speedway Corp (Class A)   807 
 10,324  *  J Alexander’s Holdings, Inc   115 
 21,801     Jack in the Box, Inc   1,856 
 26,055  *  K12, Inc   427 
 245,339     Las Vegas Sands Corp   18,734 
 26,148  *  Laureate Education, Inc   375 
 10,890  *  Lindblad Expeditions Holdings, Inc   144 
 199,968     Marriott International, Inc (Class A)   25,316 
 15,948  e  Marriott Vacations Worldwide Corp   1,801 
 536,924     McDonald’s Corp   84,131 
 350,417     MGM Resorts International   10,173 
286

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 7,140  *  Monarch Casino & Resort, Inc  $314 
 2,378     Nathan’s Famous, Inc   224 
 8,091  *,e  Noodles & Co   100 
 139,835  *  Norwegian Cruise Line Holdings Ltd   6,607 
 18,811  e  Papa John’s International, Inc   954 
 60,160  *  Penn National Gaming, Inc   2,021 
 38,765  *  Pinnacle Entertainment, Inc   1,308 
 60,595     Planet Fitness, Inc   2,663 
 10,854  *  PlayAGS, Inc   294 
 16,455  *  Potbelly Corp   213 
 6,547     RCI Hospitality Holdings, Inc   207 
 11,433  *  Red Lion Hotels Corp   133 
 9,211  *  Red Robin Gourmet Burgers, Inc   429 
 48,687     Red Rock Resorts, Inc   1,631 
 27,109  *  Regis Corp   448 
 115,126     Royal Caribbean Cruises Ltd   11,927 
 21,790     Ruth’s Chris Steak House, Inc   611 
 37,197  *  Scientific Games Corp (Class A)   1,828 
 51,334  *,e  SeaWorld Entertainment, Inc   1,120 
 120,571     Service Corp International   4,315 
 86,396  *  ServiceMaster Global Holdings, Inc   5,138 
 15,620  *,e  Shake Shack, Inc   1,034 
 48,601  e  Six Flags Entertainment Corp   3,404 
 29,466  e  Sonic Corp   1,014 
 27,603  *  Sotheby’s (Class A)   1,500 
 9,984     Speedway Motorsports, Inc   173 
 917,676     Starbucks Corp   44,828 
 7,659     Strayer Education, Inc   866 
 48,860     Texas Roadhouse, Inc (Class A)   3,201 
 28,261     Vail Resorts, Inc   7,749 
 26,120  *  Weight Watchers International, Inc   2,641 
 134,006     Wendy’s   2,302 
 21,048     Wingstop, Inc   1,097 
 68,964     Wyndham Hotels & Resorts, Inc   4,057 
 68,964     Wyndham Worldwide Corp   3,053 
 70,123     Wynn Resorts Ltd   11,734 
 252,546     Yum China Holdings, Inc   9,713 
 220,900     Yum! Brands, Inc   17,279 
 14,098  *,e  Zoe’s Kitchen, Inc   138 
       TOTAL CONSUMER SERVICES   424,785 
         
DIVERSIFIED FINANCIALS - 3.8%        
 38,253     Affiliated Managers Group, Inc   5,687 
 21,134     AG Mortgage Investment Trust   397 
 286,789     AGNC Investment Corp   5,331 
 293,945     Ally Financial, Inc   7,722 
 484,126     American Express Co   47,444 
 98,617     Ameriprise Financial, Inc   13,795 
 751,693     Annaly Capital Management, Inc   7,735 
 70,479     Anworth Mortgage Asset Corp   350 
 83,587     Apollo Commercial Real Estate Finance, Inc   1,528 
 35,777  e  Arbor Realty Trust, Inc   373 
 22,112     Ares Commercial Real Estate Corp   305 
287

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 16,506  e  Arlington Asset Investment Corp (Class A)  $170 
 26,163  *  ARMOUR Residential REIT, Inc   597 
 32,135     Artisan Partners Asset Management, Inc   969 
 4,316  e  Associated Capital Group, Inc   164 
 93,280  *  AXA Equitable Holdings, Inc   1,923 
 10,240     B. Riley Financial, Inc   231 
 21,466     Banco Latinoamericano de Exportaciones S.A. (Class E)   528 
 638,417     Bank of New York Mellon Corp   34,430 
 166,153     BGC Partners, Inc (Class A)   1,881 
 84,112     BlackRock, Inc   41,975 
 69,305  e  Blackstone Mortgage Trust, Inc   2,178 
 48,331  *  Cannae Holdings, Inc   897 
 331,334     Capital One Financial Corp   30,450 
 71,072     Capstead Mortgage Corp   636 
 79,012     CBOE Holdings, Inc   8,223 
 820,343     Charles Schwab Corp   41,920 
 7,318     Cherry Hill Mortgage Investment Corp   131 
 126,276     Chimera Investment Corp   2,308 
 230,638     CME Group, Inc   37,806 
 15,440     Cohen & Steers, Inc   644 
 56,629  e  Colony Credit Real Estate, Inc   1,174 
 18,127  *,e  Cowen Group, Inc   251 
 8,085  *,e  Credit Acceptance Corp   2,857 
 105,067     CYS Investments, Inc   788 
 2,179     Diamond Hill Investment Group, Inc   424 
 237,721     Discover Financial Services   16,738 
 19,156  *  Donnelley Financial Solutions, Inc   333 
 33,323     Dynex Capital, Inc   218 
 180,320  *  E*TRADE Financial Corp   11,028 
 78,977     Eaton Vance Corp   4,122 
 11,344  *,e  Elevate Credit, Inc   96 
 17,368  *,e  Encore Capital Group, Inc   636 
 23,911  *  Enova International, Inc   874 
 29,096     Evercore Partners, Inc (Class A)   3,068 
 22,197     Exantas Capital Corp   226 
 38,445  *  Ezcorp, Inc (Class A)   463 
 27,381     Factset Research Systems, Inc   5,424 
 68,886     Federated Investors, Inc (Class B)   1,606 
 96,122  *  FGL Holdings   806 
 42,264     Financial Engines, Inc   1,898 
 30,190     FirstCash, Inc   2,713 
 216,162     Franklin Resources, Inc   6,928 
 23,847  e  Gain Capital Holdings, Inc   180 
 4,049     GAMCO Investors, Inc (Class A)   108 
 242,575     Goldman Sachs Group, Inc   53,505 
 31,227     Granite Point Mortgage Trust, Inc   573 
 8,938     Great Ajax Corp   117 
 33,057  *  Green Dot Corp   2,426 
 19,893  e  Greenhill & Co, Inc   565 
 10,099     Hamilton Lane, Inc   484 
 15,460     Houlihan Lokey, Inc   792 
 47,028     Interactive Brokers Group, Inc (Class A)   3,029 
 392,546     IntercontinentalExchange Group, Inc   28,872 
 11,369  *  INTL FCStone, Inc   588 
288

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 270,619     Invesco Ltd  $7,188 
 81,478     Invesco Mortgage Capital, Inc   1,296 
 24,759     Investment Technology Group, Inc   518 
 211,642     Jefferies Financial Group, Inc   4,813 
 7,773  e  KKR Real Estate Finance Trust, Inc   154 
 49,496     Ladder Capital Corp   773 
 73,441     Ladenburg Thalmann Financial Services, Inc   250 
 76,930     Lazard Ltd (Class A)   3,763 
 62,850     Legg Mason, Inc   2,183 
 214,482  *  LendingClub Corp   813 
 63,483     LPL Financial Holdings, Inc   4,161 
 23,522     MarketAxess Holdings, Inc   4,654 
 6,533     Marlin Business Services Corp   195 
 270,747     MFA Mortgage Investments, Inc   2,052 
 26,390     Moelis & Co   1,548 
 112,759     Moody’s Corp   19,232 
 852,319     Morgan Stanley   40,400 
 13,834     Morningstar, Inc   1,774 
 60,080     MSCI, Inc (Class A)   9,939 
 34,047     MTGE Investment Corp   667 
 81,850     NASDAQ OMX Group, Inc   7,470 
 166,451     Navient Corp   2,169 
 14,990     Nelnet, Inc (Class A)   876 
 213,603     New Residential Investment Corp   3,736 
 75,449  e  New York Mortgage Trust, Inc   453 
 22,218  *,†,m  NewStar Financial, Inc   11 
 144,365     Northern Trust Corp   14,854 
 40,173     OM Asset Management plc   573 
 36,046  *  On Deck Capital, Inc   252 
 51,991  *  OneMain Holdings, Inc   1,731 
 7,363     Oppenheimer Holdings, Inc   206 
 23,694  e  Orchid Island Capital, Inc   178 
 47,765     PennyMac Mortgage Investment Trust   907 
 17,372     Pico Holdings, Inc   202 
 10,272     Piper Jaffray Cos   789 
 13,025     PJT Partners, Inc   695 
 33,753  *,e  PRA Group, Inc   1,301 
 9,591     Pzena Investment Management, Inc (Class A)   88 
 86,900     Raymond James Financial, Inc   7,765 
 49,700     Redwood Trust, Inc   819 
 8,577  *  Regional Management Corp   300 
 171,578     S&P Global, Inc   34,983 
 16,951  *  Safeguard Scientifics, Inc   217 
 78,809     Santander Consumer USA Holdings, Inc   1,504 
 87,401     SEI Investments Co   5,464 
 5,338     Silvercrest Asset Management Group, Inc   87 
 313,613  *  SLM Corp   3,591 
 247,347     State Street Corp   23,026 
 47,909     Stifel Financial Corp   2,503 
 525,664     Synchrony Financial   17,547 
 159,466     T Rowe Price Group, Inc   18,512 
 192,271     TD Ameritrade Holding Corp   10,531 
 7,897     TPG RE Finance Trust, Inc   160 
289

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 118,321     Two Harbors Investment Corp  $1,869 
 18,355     Virtu Financial, Inc   487 
 4,800     Virtus Investment Partners, Inc   614 
 115,069     Voya Financial, Inc   5,408 
 58,496  e  Waddell & Reed Financial, Inc (Class A)   1,051 
 28,538     Western Asset Mortgage Capital Corp   297 
 5,409     Westwood Holdings Group, Inc   322 
 84,317     WisdomTree Investments, Inc   766 
 4,248  *  World Acceptance Corp   472 
 10,497     ZAIS Financial Corp   171 
       TOTAL DIVERSIFIED FINANCIALS   733,968 
         
ENERGY - 6.0%        
 109,725  *  Abraxas Petroleum Corp   317 
 1,730     Adams Resources & Energy, Inc   74 
 64,681  *  Alta Mesa Resources, Inc   440 
 351,568     Anadarko Petroleum Corp   25,752 
 96,133     Andeavor   12,611 
 164,227  *  Antero Resources Corp   3,506 
 260,509     Apache Corp   12,179 
 52,623  *  Apergy Corp   2,197 
 28,129  *,e  Approach Resources, Inc   69 
 9,586     Arch Coal, Inc   752 
 85,865     Archrock, Inc   1,030 
 20,832  *  Ardmore Shipping Corp   171 
 286,729     Baker Hughes a GE Co   9,471 
 12,272  *  Basic Energy Services, Inc   136 
 14,562  *  Bonanza Creek Energy, Inc   551 
 26,221  e  Bristow Group, Inc   370 
 33,520  *  C&J Energy Services, Inc   791 
 307,488     Cabot Oil & Gas Corp   7,318 
 16,011  *  Cactus, Inc   541 
 30,573  *,e  California Resources Corp   1,389 
 145,414  *  Callon Petroleum Co   1,562 
 15,028  *,e  CARBO Ceramics, Inc   138 
 45,074  *  Carrizo Oil & Gas, Inc   1,255 
 124,454  *  Centennial Resource Development, Inc   2,248 
 137,649  *  Cheniere Energy, Inc   8,973 
 612,722  *,e  Chesapeake Energy Corp   3,211 
 1,301,029     Chevron Corp   164,489 
 61,229     Cimarex Energy Co   6,229 
 96,211  *  Clean Energy Fuels Corp   355 
 54,879  *  Cloud Peak Energy, Inc   192 
 165,329  *  CNX Resources Corp   2,940 
 102,349  *  Concho Resources, Inc   14,160 
 799,787     ConocoPhillips   55,681 
 20,666  *  CONSOL Energy, Inc   793 
 64,271  *  Continental Resources, Inc   4,162 
 22,043  *,e  Covia Holdings Corp   409 
 11,149  e  CVR Energy, Inc   412 
 56,457     Delek US Holdings, Inc   2,832 
 280,409  *  Denbury Resources, Inc   1,349 
 356,557     Devon Energy Corp   15,674 
 55,111     DHT Holdings, Inc   258 
290

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 38,317  *,e  Diamond Offshore Drilling, Inc  $799 
 67,074     Diamondback Energy, Inc   8,825 
 20,589  *  Dorian LPG Ltd   157 
 27,635  *  Dril-Quip, Inc   1,420 
 7,121  *  Earthstone Energy, Inc   63 
 61,180  *  Eclipse Resources Corp   98 
 59,603  *  Energen Corp   4,340 
 21,016  *  Energy XXI Gulf Coast, Inc   186 
 394,823     EOG Resources, Inc   49,128 
 28,367  *,e  EP Energy Corp   85 
 180,649     EQT Corp   9,968 
 14,364  *  Era Group, Inc   186 
 17,517     Evolution Petroleum Corp   173 
 23,313  *  Exterran Corp   584 
 87,596  *,e  Extraction Oil & Gas, Inc   1,287 
 2,894,193  d  Exxon Mobil Corp   239,437 
 49,153  *  Forum Energy Technologies, Inc   607 
 36,662  e  Frank’s International NV   286 
 52,498  e  Frontline Ltd   307 
 15,611  *  FTS International, Inc   222 
 32,033     GasLog Ltd   612 
 69,477  e  Golar LNG Ltd   2,047 
 26,945     Green Plains Renewable Energy, Inc   493 
 109,431  *  Gulfport Energy Corp   1,376 
 42,984  *,e  Halcon Resources Corp   189 
 10,340     Hallador Energy Co   74 
 593,991     Halliburton Co   26,765 
 100,808  *  Helix Energy Solutions Group, Inc   840 
 76,890     Helmerich & Payne, Inc   4,903 
 180,836     Hess Corp   12,096 
 21,135  *  HighPoint Resources Corp   128 
 110,468     HollyFrontier Corp   7,559 
 23,510  *  Independence Contract Drilling, Inc   97 
 20,967  *  International Seaways, Inc   485 
 7,203  *  ION Geophysical Corp   175 
 823  *  Isramco, Inc   101 
 22,747  *,e  Jagged Peak Energy, Inc   296 
 22,628  *  Keane Group, Inc   309 
 7,122  *  Key Energy Services, Inc   116 
 1,295,459     Kinder Morgan, Inc   22,891 
 139,280  *  Kosmos Energy LLC   1,152 
 117,588  *  Laredo Petroleum Holdings, Inc   1,131 
 9,873  *,e  Liberty Oilfield Services, Inc   185 
 29,366  *,e  Lilis Energy, Inc   153 
 5,616  *,e  Mammoth Energy Services, Inc   191 
 580,770     Marathon Oil Corp   12,115 
 312,500     Marathon Petroleum Corp   21,925 
 64,577  *  Matador Resources Co   1,941 
 19,934  *  Matrix Service Co   366 
 126,473  *  McDermott International, Inc   2,485 
 7,581  *  Midstates Petroleum Co, Inc   103 
 114,242  e  Murphy Oil Corp   3,858 
 203,104     Nabors Industries Ltd   1,302 
291

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 256,371     National Oilwell Varco, Inc  $11,127 
 9,713  *  Natural Gas Services Group, Inc   229 
 7,613  *,e  NCS Multistage Holdings, Inc   111 
 144,456  *  Newfield Exploration Co   4,370 
 63,344  *  Newpark Resources, Inc   687 
 5,415  *  Nine Energy Service, Inc   179 
 165,932  *  Noble Corp plc   1,050 
 330,855     Noble Energy, Inc   11,673 
 68,002  e  Nordic American Tanker Shipping   182 
 73,198  *  Northern Oil And Gas, Inc   231 
 170,623  *  Oasis Petroleum, Inc   2,213 
 524,470     Occidental Petroleum Corp   43,888 
 37,005  *,e  Ocean Rig UDW, Inc   1,091 
 71,446     Oceaneering International, Inc   1,819 
 38,178  *  Oil States International, Inc   1,226 
 279,417     Oneok, Inc   19,512 
 26,237  *  Overseas Shipholding Group, Inc   102 
 10,734     Panhandle Oil and Gas, Inc (Class A)   205 
 23,180  *  Par Pacific Holdings, Inc   403 
 167,421  *  Parsley Energy, Inc   5,070 
 150,779     Patterson-UTI Energy, Inc   2,714 
 78,916     PBF Energy, Inc   3,309 
 47,717  *  PDC Energy, Inc   2,884 
 54,624     Peabody Energy Corp   2,484 
 10,090  *  Penn Virginia Corp   857 
 9,723  *  PHI, Inc   99 
 287,074     Phillips 66   32,241 
 42,944  *  Pioneer Energy Services Corp   251 
 115,598     Pioneer Natural Resources Co   21,876 
 48,018  *  ProPetro Holding Corp   753 
 173,948  *  Questar Market Resources, Inc   2,133 
 139,657     Range Resources Corp   2,336 
 27,182  *,e  Renewable Energy Group, Inc   485 
 15,559  *,e  Resolute Energy Corp   485 
 4,186  *  Rex American Resources Corp   339 
 9,601  *  RigNet, Inc   99 
 32,471  *  Ring Energy, Inc   410 
 83,867  *  Rowan Cos plc   1,360 
 42,512  e  RPC, Inc   619 
 95,255  *  RSP Permian, Inc   4,193 
 31,286  *,e  Sanchez Energy Corp   141 
 24,071  *  SandRidge Energy, Inc   427 
 946,808     Schlumberger Ltd   63,465 
 121,758     Scorpio Tankers, Inc   342 
 11,768  *  SEACOR Holdings, Inc   674 
 11,831  *  SEACOR Marine Holdings, Inc   273 
 6,869  *  Select Energy Services, Inc   100 
 48,551     SemGroup Corp   1,233 
 45,041  e  Ship Finance International Ltd   673 
 4,694  *  SilverBow Resources, Inc   136 
 80,594     SM Energy Co   2,070 
 12,316  *,e  Smart Sand, Inc   65 
 6,855  *  Solaris Oilfield Infrastructure, Inc   98 
 398,926  *  Southwestern Energy Co   2,114 
292

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 143,792  *  SRC Energy, Inc  $1,585 
 111,107  *  Superior Energy Services   1,082 
 13,911  *  Talos Energy, Inc   447 
 141,390     Targa Resources Investments, Inc   6,997 
 36,192  e  Teekay Corp   280 
 85,424  e  Teekay Tankers Ltd (Class A)   100 
 39,279  *,e  Tellurian, Inc   327 
 32,701  *  Tetra Technologies, Inc   146 
 16,234  *  Tidewater, Inc   470 
 283,324  *  Transocean Ltd (NYSE)   3,808 
 36,980  *  Unit Corp   945 
 95,169  *,e  Uranium Energy Corp   153 
 58,687  e  US Silica Holdings Inc   1,508 
 293,947     Valero Energy Corp   32,578 
 14,396  *  W&T Offshore, Inc   103 
 643,511  *,e  Weatherford International Ltd   2,117 
 65,205  *  Whiting Petroleum Corp   3,438 
 13,341  *  WildHorse Resource Development Corp   338 
 565,594     Williams Cos, Inc   15,333 
 49,281     World Fuel Services Corp   1,006 
 284,313  *  WPX Energy, Inc   5,126 
       TOTAL ENERGY   1,148,597 
                
FOOD & STAPLES RETAILING - 0.9%        
 19,849     Andersons, Inc   679 
 22,168     Casey’s General Stores, Inc   2,329 
 14,374  *  Chefs’ Warehouse Holdings, Inc   410 
 10,217     Ingles Markets, Inc (Class A)   325 
 580,521     Kroger Co   16,516 
 6,410  *,e  Natural Grocers by Vitamin C   82 
 70,016  *  Performance Food Group Co   2,569 
 14,866     Pricesmart, Inc   1,345 
 763,555  *,e  Rite Aid Corp   1,321 
 17,661  *  Smart & Final Stores, Inc   98 
 27,344     Spartan Stores, Inc   698 
 72,919  *  Sprouts Farmers Market, Inc   1,609 
 27,415  *  SUPERVALU, Inc   562 
 328,095     Sysco Corp   22,406 
 36,929  *  United Natural Foods, Inc   1,575 
 144,258  *  US Foods Holding Corp   5,456 
 4,843     Village Super Market (Class A)   143 
 577,866     Walgreens Boots Alliance, Inc   34,681 
 974,611     Walmart, Inc   83,475 
 4,684     Weis Markets, Inc   250 
       TOTAL FOOD & STAPLES RETAILING   176,529 
                
FOOD, BEVERAGE & TOBACCO - 3.9%        
 78,794  *,e  22nd Century Group, Inc   194 
 2,319     Alico, Inc   73 
 1,293,376     Altria Group, Inc   73,451 
 382,570     Archer Daniels Midland Co   17,533 
 48,393  e  B&G Foods, Inc (Class A)   1,447 
 5,887  *  Boston Beer Co, Inc (Class A)   1,764 
293

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 38,532     Brown-Forman Corp  $1,883 
 192,742     Brown-Forman Corp (Class B)   9,446 
 92,994     Bunge Ltd   6,483 
 11,455  e  Calavo Growers, Inc   1,101 
 22,629  *  Cal-Maine Foods, Inc   1,038 
 128,062  e  Campbell Soup Co   5,192 
 61,868  *,e  Castle Brands, Inc   74 
 3,092     Coca-Cola Bottling Co Consolidated   418 
 2,613,553     Coca-Cola Co   114,631 
 261,189     ConAgra Foods, Inc   9,332 
 107,152     Constellation Brands, Inc (Class A)   23,452 
 299,217     Costco Wholesale Corp   62,530 
 7,653  *  Craft Brewers Alliance, Inc   158 
 118,243  *  Darling International, Inc   2,351 
 65,223     Dean Foods Co   685 
 121,446  *  Dr Pepper Snapple Group, Inc   14,816 
 5,320  *  Farmer Bros Co   163 
 122,146     Flowers Foods, Inc   2,544 
 20,613     Fresh Del Monte Produce, Inc   918 
 15,781  *  Freshpet, Inc   433 
 404,401     General Mills, Inc   17,899 
 73,323  *  Hain Celestial Group, Inc   2,185 
 95,764     Hershey Co   8,912 
 177,534  e  Hormel Foods Corp   6,606 
 57,996  *  Hostess Brands, Inc   789 
 46,997     Ingredion, Inc   5,203 
 10,369     J&J Snack Foods Corp   1,581 
 78,341     J.M. Smucker Co   8,420 
 5,780     John B. Sanfilippo & Son, Inc   430 
 169,417     Kellogg Co   11,837 
 413,294     Kraft Heinz Co   25,963 
 99,893     Lamb Weston Holdings, Inc   6,844 
 13,060     Lancaster Colony Corp   1,808 
 19,323  *  Landec Corp   288 
 8,386     Limoneira Co   206 
 81,380     McCormick & Co, Inc   9,447 
 9,193     MGP Ingredients, Inc   816 
 118,394     Molson Coors Brewing Co (Class B)   8,056 
 984,412     Mondelez International, Inc   40,361 
 278,345  *  Monster Beverage Corp   15,949 
 8,574  e  National Beverage Corp   917 
 967,754     PepsiCo, Inc   105,359 
 1,061,141     Philip Morris International, Inc   85,677 
 39,140  *  Pilgrim’s Pride Corp   788 
 85,273     Pinnacle Foods, Inc   5,548 
 47,135  *  Post Holdings, Inc   4,055 
 18,742  *  Primo Water Corp   328 
 14,731     Sanderson Farms, Inc   1,549 
 192     Seaboard Corp   761 
 5,451  *  Seneca Foods Corp   147 
 40,880  *  Simply Good Foods Co   590 
 10,980  e  Tootsie Roll Industries, Inc   339 
 40,066  *  TreeHouse Foods, Inc   2,104 
 4,760     Turning Point Brands, Inc   152 
294

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 198,344     Tyson Foods, Inc (Class A)  $13,656 
 17,023     Universal Corp   1,124 
 48,193     Vector Group Ltd   919 
       TOTAL FOOD, BEVERAGE & TOBACCO   749,723 
                
HEALTH CARE EQUIPMENT & SERVICES - 6.1%        
 5,996  *,e  AAC Holdings, Inc   56 
 16,111     Abaxis, Inc   1,337 
 1,166,922     Abbott Laboratories   71,171 
 28,689  *  Abiomed, Inc   11,735 
 56,824  *  Acadia Healthcare Co, Inc   2,325 
 58,290  *  Accuray, Inc   239 
 5,501  *  Addus HomeCare Corp   315 
 219,198     Aetna Inc   40,223 
 54,086  *  Align Technology, Inc   18,505 
 133,589  *  Allscripts Healthcare Solutions, Inc   1,603 
 20,714  *  Amedisys, Inc   1,770 
 6,596  *,e  American Renal Associates Holdings, Inc   104 
 108,196     AmerisourceBergen Corp   9,226 
 31,962  *  AMN Healthcare Services, Inc   1,873 
 26,107  *  Angiodynamics, Inc   581 
 10,943  *  Anika Therapeutics, Inc   350 
 104,354  *  Antares Pharma, Inc   269 
 174,456     Anthem, Inc   41,526 
 16,786  *,e  Apollo Medical Holdings, Inc   434 
 27,261  *  athenahealth, Inc   4,338 
 22,609  *  AtriCure, Inc   612 
 1,019     Atrion Corp   611 
 33,829  *  Avanos Medical, Inc   1,937 
 18,090  *  AxoGen, Inc   909 
 338,312     Baxter International, Inc   24,981 
 180,440     Becton Dickinson & Co   43,226 
 86,257  *,e  BioScrip, Inc   253 
 19,708  *  BioTelemetry, Inc   887 
 938,346  *  Boston Scientific Corp   30,684 
 135,933  *  Brookdale Senior Living, Inc   1,236 
 25,974     Cantel Medical Corp   2,555 
 19,478  *  Capital Senior Living Corp   208 
 212,073     Cardinal Health, Inc   10,356 
 23,626  *  Cardiovascular Systems, Inc   764 
 45,319  *  Castlight Health, Inc   193 
 138,393  *  Centene Corp   17,051 
 216,297  *  Cerner Corp   12,932 
 71,510  *  Cerus Corp   477 
 10,898     Chemed Corp   3,507 
 159,735     Cigna Corp   27,147 
 11,529  *  Civitas Solutions, Inc   189 
 68,750  *,e  Community Health Systems, Inc   228 
 8,700  e  Computer Programs & Systems, Inc   286 
 19,875     Conmed Corp   1,455 
 32,161     Cooper Cos, Inc   7,572 
 7,512  *  Corvel Corp   406 
 19,227  *  Cotiviti Holdings, Inc   849 
295

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 25,224  *  Cross Country Healthcare, Inc  $284 
 23,064  *  CryoLife, Inc   642 
 16,944  *,e  CryoPort, Inc   267 
 10,004  *  Cutera, Inc   403 
 694,180     CVS Health Corp   44,671 
 19,235  *,e  CytoSorbents Corp   219 
 423,352     Danaher Corp   41,776 
 92,449  *  DaVita, Inc   6,420 
 149,427     Dentsply Sirona, Inc   6,540 
 60,646  *  DexCom, Inc   5,760 
 34,269  *  Diplomat Pharmacy, Inc   876 
 142,058  *  Edwards Lifesciences Corp   20,679 
 62,923     Encompass Health Corp   4,261 
 59,131  *  Endologix, Inc   335 
 35,447     Ensign Group, Inc   1,270 
 84,226  *  Envision Healthcare Corp   3,707 
 45,708  *,e  Evolent Health, Inc   962 
 383,421  *  Express Scripts Holding Co   29,604 
 4,418  *  FONAR Corp   117 
 28,070  *  Genesis Health Care, Inc   64 
 30,765  *,e  GenMark Diagnostics, Inc   196 
 20,642  *,e  Glaukos Corp   839 
 48,523  *  Globus Medical, Inc   2,449 
 36,085  *  Haemonetics Corp   3,236 
 189,136     HCA Holdings, Inc   19,405 
 35,870  *  HealthEquity, Inc   2,694 
 18,780     HealthStream, Inc   513 
 106,184  *  Henry Schein, Inc   7,713 
 4,605  *  Heska Corp   478 
 47,607     Hill-Rom Holdings, Inc   4,158 
 60,877  *  HMS Holdings Corp   1,316 
 184,551  *  Hologic, Inc   7,336 
 93,312     Humana, Inc   27,772 
 10,885  *  ICU Medical, Inc   3,196 
 59,502  *  Idexx Laboratories, Inc   12,968 
 12,244  *  Inogen Inc   2,281 
 43,464  *,e  Inovalon Holdings, Inc   431 
 5,311  *,e  Inspire Medical Systems, Inc   189 
 41,898  *  Insulet Corp   3,591 
 22,691  *  Integer Holding Corp   1,467 
 44,740  *  Integra LifeSciences Holdings Corp   2,882 
 4,136  *  IntriCon Corp   167 
 76,363  *  Intuitive Surgical, Inc   36,538 
 23,110     Invacare Corp   430 
 16,105  *  iRhythm Technologies, Inc   1,307 
 29,171  *  K2M Group Holdings, Inc   656 
 61,383  *  Kindred Healthcare, Inc   552 
 69,963  *  Laboratory Corp of America Holdings   12,560 
 18,233  *  Lantheus Holdings, Inc   265 
 9,523     LeMaitre Vascular, Inc   319 
 19,826  *  LHC Group, Inc   1,697 
 26,991  *  LifePoint Hospitals, Inc   1,317 
 33,006  *  LivaNova plc   3,295 
 16,931  *  Magellan Health Services, Inc   1,625 
296

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 32,408  *  Masimo Corp  $3,165 
 141,507     McKesson Corp   18,877 
 40,701  *  Medidata Solutions, Inc   3,279 
 63,033  *  MEDNAX, Inc   2,728 
 924,317     Medtronic plc   79,131 
 31,965     Meridian Bioscience, Inc   508 
 35,220  *  Merit Medical Systems, Inc   1,803 
 41,890  *  Molina Healthcare, Inc   4,103 
 12,716  *,e  NantHealth, Inc   42 
 7,753     National Healthcare Corp   546 
 5,598     National Research Corp   209 
 24,197  *  Natus Medical, Inc   835 
 35,733  *  Neogen Corp   2,865 
 19,942  *  Nevro Corp   1,592 
 41,426  *  Novocure Ltd   1,297 
 36,380  *  NuVasive, Inc   1,896 
 9,426  *  Nuvectra Corp   194 
 45,234  *  NxStage Medical, Inc   1,262 
 26,681  *  Omnicell, Inc   1,399 
 40,487  *  OraSure Technologies, Inc   667 
 12,159  *  Orthofix International NV   691 
 43,714     Owens & Minor, Inc   730 
 14,688  *  Oxford Immunotec Global plc   189 
 57,408  e  Patterson Cos, Inc   1,301 
 21,136  *  Penumbra, Inc   2,920 
 5,304  *,e  PetIQ, Inc   142 
 33,935  *  Premier, Inc   1,235 
 8,662  *  Providence Service Corp   680 
 6,666  *,e  Pulse Biosciences, Inc   101 
 37,773  *  Quality Systems, Inc   737 
 92,408     Quest Diagnostics, Inc   10,159 
 20,943  *  Quidel Corp   1,393 
 72,154  *  R1 RCM, Inc   626 
 25,914  *  RadNet, Inc   389 
 93,908     Resmed, Inc   9,727 
 37,335  *,e  Rockwell Medical, Inc   184 
 38,631  *  RTI Biologics, Inc   178 
 77,335  *  Select Medical Holdings Corp   1,404 
 45,067  *  Senseonics Holdings, Inc   185 
 10,185  *,e  Sientra, Inc   199 
 7,680     Simulations Plus, Inc   171 
 26,141  *  Staar Surgical Co   810 
 59,349     STERIS Plc   6,232 
 231,440     Stryker Corp   39,081 
 13,353  *,e  Surgery Partners, Inc   199 
 10,275  *  SurModics, Inc   567 
 6,560  *  Tabula Rasa HealthCare, Inc   419 
 6,719  *,e  Tactile Systems Technology, Inc   349 
 30,224  *,e  Tandem Diabetes Care, Inc   666 
 38,788  *,e  Teladoc, Inc   2,252 
 29,977     Teleflex, Inc   8,040 
 59,665  *  Tenet Healthcare Corp   2,003 
 26,395  *  Tivity Health, Inc   929 
297

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 105,717  *  TransEnterix, Inc  $461 
 18,039  *  Triple-S Management Corp (Class B)   705 
 652,978     UnitedHealth Group, Inc   160,202 
 57,391     Universal Health Services, Inc (Class B)   6,396 
 9,158     US Physical Therapy, Inc   879 
 2,349     Utah Medical Products, Inc   259 
 27,229  *  Varex Imaging Corp   1,010 
 61,190  *  Varian Medical Systems, Inc   6,959 
 81,875  *  Veeva Systems, Inc   6,293 
 19,827  *,e  ViewRay, Inc   137 
 20,093  *  Vocera Communications, Inc   601 
 31,751  *  WellCare Health Plans, Inc   7,818 
 51,937     West Pharmaceutical Services, Inc   5,157 
 76,096  *,e  Wright Medical Group NV   1,975 
 135,880     Zimmer Biomet Holdings, Inc   15,142 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES   1,169,466 
                
HOUSEHOLD & PERSONAL PRODUCTS - 1.4%        
 7,431  *  Central Garden & Pet Co   323 
 24,471  *  Central Garden and Pet Co (Class A)   990 
 167,255     Church & Dwight Co, Inc   8,891 
 88,640     Clorox Co   11,989 
 582,342     Colgate-Palmolive Co   37,742 
 303,286     Coty, Inc   4,276 
 41,449  *  Edgewell Personal Care Co   2,091 
 15,146  *,e  elf Beauty, Inc   231 
 44,546     Energizer Holdings, Inc   2,805 
 149,319     Estee Lauder Cos (Class A)   21,306 
 79,646  *  Herbalife Ltd   4,279 
 81,882  *  HRG Group, Inc   1,072 
 12,258     Inter Parfums, Inc   656 
 240,340     Kimberly-Clark Corp   25,317 
 7,966     Medifast, Inc   1,276 
 5,685  e  Natural Health Trends Corp   142 
 5,868  *  Nature’s Sunshine Products, Inc   55 
 36,417     Nu Skin Enterprises, Inc (Class A)   2,847 
 3,981     Oil-Dri Corp of America   168 
 1,719,779     Procter & Gamble Co   134,246 
 8,319  *,e  Revlon, Inc (Class A)   146 
 17,796  e  Spectrum Brands, Inc   1,452 
 8,349  *  USANA Health Sciences, Inc   963 
 9,183     WD-40 Co   1,343 
       TOTAL HOUSEHOLD & PERSONAL PRODUCTS   264,606 
                
INSURANCE - 3.9%        
 519,273     Aflac, Inc   22,339 
 10,050     Alleghany Corp   5,778 
 240,169     Allstate Corp   21,920 
 32,424  *  AMBAC Financial Group, Inc   644 
 61,796     American Equity Investment Life Holding Co   2,225 
 49,160     American Financial Group, Inc   5,276 
 618,012     American International Group, Inc   32,767 
 5,469     American National Insurance Co   654 
 13,468     Amerisafe, Inc   778 
298

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 61,882  e  Amtrust Financial Services, Inc  $902 
 167,631     Aon plc   22,994 
 264,168  *  Arch Capital Group Ltd   6,990 
 24,041     Argo Group International Holdings Ltd   1,398 
 127,528     Arthur J. Gallagher & Co   8,325 
 43,239     Aspen Insurance Holdings Ltd   1,760 
 38,716     Assurant, Inc   4,007 
 75,307     Assured Guaranty Ltd   2,691 
 108,216  *  Athene Holding Ltd   4,744 
 58,873     Axis Capital Holdings Ltd   3,274 
 6,904     Baldwin & Lyons, Inc (Class B)   168 
 1,323,386  *  Berkshire Hathaway, Inc (Class B)   247,010 
 66,008  *  Brighthouse Financial, Inc   2,645 
 144,728     Brown & Brown, Inc   4,013 
 316,515     Chubb Ltd   40,204 
 102,852     Cincinnati Financial Corp   6,877 
 32,879  *,e  Citizens, Inc (Class A)   256 
 17,827     CNA Financial Corp   814 
 123,157     Conseco, Inc   2,345 
 11,609     Crawford & Co (Class B)   100 
 7,812     Donegal Group, Inc (Class A)   106 
 11,930  *  eHealth, Inc   264 
 6,754     EMC Insurance Group, Inc   188 
 23,170     Employers Holdings, Inc   931 
 8,013  *  Enstar Group Ltd   1,661 
 17,977     Erie Indemnity Co (Class A)   2,108 
 29,074     Everest Re Group Ltd   6,701 
 7,071     FBL Financial Group, Inc (Class A)   557 
 10,321  *  FedNat Holding Co   238 
 67,815     First American Financial Corp   3,507 
 172,857     FNF Group   6,503 
 339,186  *  Genworth Financial, Inc (Class A)   1,526 
 6,929     Global Indemnity Ltd   270 
 6,616  *  Goosehead Insurance, Inc   165 
 20,683  *  Greenlight Capital Re Ltd (Class A)   294 
 7,438  *  Hallmark Financial Services   74 
 30,826     Hanover Insurance Group, Inc   3,686 
 250,070     Hartford Financial Services Group, Inc   12,786 
 5,533     HCI Group, Inc   230 
 8,194  *  Health Insurance Innovations, Inc   265 
 18,411  e  Heritage Insurance Holdings, Inc   307 
 29,606     Horace Mann Educators Corp   1,320 
 5,237     Independence Holding Co   174 
 7,783     Infinity Property & Casualty Corp   1,108 
 1,119     Investors Title Co   207 
 12,617     James River Group Holdings Ltd   496 
 28,739     Kemper Corp   2,174 
 7,037     Kingstone Cos, Inc   119 
 10,502     Kinsale Capital Group, Inc   576 
 146,331     Lincoln National Corp   9,109 
 190,008     Loews Corp   9,174 
 48,335     Maiden Holdings Ltd   375 
 9,220  *  Markel Corp   9,998 
299

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 343,640     Marsh & McLennan Cos, Inc  $28,168 
 59,989  *,e  MBIA, Inc   542 
 20,342     Mercury General Corp   927 
 589,537     Metlife, Inc   25,704 
 35,673     National General Holdings Corp   939 
 1,551     National Western Life Group, Inc   477 
 15,353     Navigators Group, Inc   875 
 7,308  *  NI Holdings, Inc   124 
 192,340     Old Republic International Corp   3,829 
 27,126     Primerica, Inc   2,702 
 192,618     Principal Financial Group   10,199 
 37,307     ProAssurance Corp   1,322 
 397,851     Progressive Corp   23,533 
 286,702     Prudential Financial, Inc   26,809 
 45,889     Reinsurance Group of America, Inc (Class A)   6,125 
 28,612     RenaissanceRe Holdings Ltd   3,443 
 27,824     RLI Corp   1,842 
 11,093     Safety Insurance Group, Inc   947 
 42,211     Selective Insurance Group, Inc   2,322 
 11,039     State Auto Financial Corp   330 
 15,315     Stewart Information Services Corp   660 
 51,271  *  Third Point Reinsurance Ltd   641 
 22,143     Tiptree Financial, Inc   151 
 76,067     Torchmark Corp   6,193 
 183,131     Travelers Cos, Inc   22,404 
 15,868  *,e  Trupanion, Inc   612 
 16,104     United Fire & Casualty Co   878 
 12,682     United Insurance Holdings Corp   248 
 22,402     Universal Insurance Holdings, Inc   786 
 142,945     UnumProvident Corp   5,288 
 47,230     Validus Holdings Ltd   3,193 
 59,812     W.R. Berkley Corp   4,331 
 2,317     White Mountains Insurance Group Ltd   2,101 
 89,795     Willis Towers Watson plc   13,613 
 168,527     XL Group Ltd   9,429 
       TOTAL INSURANCE   742,782 
                
MATERIALS - 3.1%  
 20,886     A. Schulman, Inc   929 
 15,014     Advanced Emissions Solutions, Inc   171 
 22,501  *  AdvanSix, Inc   824 
 16,379  *  AgroFresh Solutions, Inc   115 
 147,204     Air Products & Chemicals, Inc   22,924 
 228,124  *,e  AK Steel Holding Corp   990 
 73,578  e  Albemarle Corp   6,941 
 122,406  *  Alcoa Corp   5,738 
 78,013  *,e  Allegheny Technologies, Inc   1,960 
 20,501     American Vanguard Corp   470 
 43,141     Aptargroup, Inc   4,028 
 13,288     Ardagh Group S.A.   221 
 43,629     Ashland Global Holdings, Inc   3,411 
 62,843     Avery Dennison Corp   6,416 
 153,684  *  Axalta Coating Systems Ltd   4,658 
 23,190     Balchem Corp   2,276 
300

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
           
 233,901     Ball Corp  $8,315 
 53,485     Bemis Co, Inc   2,258 
 91,892  *  Berry Plastics Group, Inc   4,221 
 27,727     Boise Cascade Co   1,239 
 43,691     Cabot Corp   2,699 
 31,590     Carpenter Technology Corp   1,661 
 95,524     Celanese Corp (Series A)   10,609 
 36,798  *  Century Aluminum Co   580 
 154,694     CF Industries Holdings, Inc   6,868 
 5,158     Chase Corp   605 
 119,808     Chemours Co   5,315 
 11,678  *  Clearwater Paper Corp   270 
 213,712  *  Cleveland-Cliffs, Inc   1,802 
 119,550  *  Coeur Mining, Inc   909 
 83,562     Commercial Metals Co   1,764 
 22,798  e  Compass Minerals International, Inc   1,499 
 89,223  *  Crown Holdings, Inc   3,994 
 45,300     Domtar Corp   2,163 
 1,586,053     DowDuPont, Inc   104,553 
 34,107     Eagle Materials, Inc   3,580 
 97,831     Eastman Chemical Co   9,779 
 173,987     Ecolab, Inc   24,416 
 60,041  *  Ferro Corp   1,252 
 47,286  *,m  Ferroglobe plc   0 
 40,724  *  Flotek Industries, Inc   132 
 89,953     FMC Corp   8,025 
 987,023     Freeport-McMoRan Copper & Gold, Inc (Class B)   17,036 
 17,819     FutureFuel Corp   250 
 48,995  *  GCP Applied Technologies, Inc   1,418 
 39,231  *  Gold Resource Corp   258 
 224,514     Graphic Packaging Holding Co   3,258 
 3,993     Greif, Inc   230 
 18,292     Greif, Inc (Class A)   967 
 34,325     H.B. Fuller Co   1,843 
 7,923     Hawkins, Inc   280 
 9,402     Haynes International, Inc   345 
 283,752     Hecla Mining Co   987 
 143,018     Huntsman Corp   4,176 
 30,403  *  Ingevity Corp   2,458 
 14,138     Innophos Holdings, Inc   673 
 17,291     Innospec, Inc   1,324 
 52,461     International Flavors & Fragrances, Inc   6,503 
 287,694     International Paper Co   14,983 
 67,354  *  Intrepid Potash, Inc   276 
 12,178     Kaiser Aluminum Corp   1,268 
 59,547     Kapstone Paper and Packaging Corp   2,054 
 125,028  *  Klondex Mines Ltd   289 
 7,156     KMG Chemicals, Inc   528 
 15,231  *  Koppers Holdings, Inc   584 
 21,628  *  Kraton Polymers LLC   998 
 14,288     Kronos Worldwide, Inc   322 
 104,108     Louisiana-Pacific Corp   2,834 
 15,120  *,e  LSB Industries, Inc   80 
301

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 221,339     LyondellBasell Industries AF S.C.A  $24,314 
 42,490     Martin Marietta Materials, Inc   9,489 
 14,781     Materion Corp   800 
 23,990     Minerals Technologies, Inc   1,808 
 233,459     Mosaic Co   6,548 
 18,118     Myers Industries, Inc   348 
 10,909     Neenah Paper, Inc   926 
 5,424     NewMarket Corp   2,194 
 363,808     Newmont Mining Corp   13,719 
 217,106     Nucor Corp   13,569 
 119,149     Olin Corp   3,422 
 6,559     Olympic Steel, Inc   134 
 32,453  *  Omnova Solutions, Inc   337 
 90,414  *  Owens-Illinois, Inc   1,520 
 63,758     Packaging Corp of America   7,127 
 32,454     PH Glatfelter Co   636 
 159,281  *  Platform Specialty Products Corp   1,848 
 58,890     PolyOne Corp   2,545 
 170,150     PPG Industries, Inc   17,650 
 20,162  *  PQ Group Holdings, Inc   363 
 195,765     Praxair, Inc   30,960 
 9,399     Quaker Chemical Corp   1,456 
 31,957  e  Rayonier Advanced Materials, Inc   546 
 50,286     Reliance Steel & Aluminum Co   4,402 
 41,577     Royal Gold, Inc   3,860 
 94,890     RPM International, Inc   5,534 
 8,418  *  Ryerson Holding Corp   94 
 19,399     Schnitzer Steel Industries, Inc (Class A)   654 
 20,766     Schweitzer-Mauduit International, Inc   908 
 30,897     Scotts Miracle-Gro Co (Class A)   2,569 
 109,559     Sealed Air Corp   4,651 
 31,821     Sensient Technologies Corp   2,277 
 56,197     Sherwin-Williams Co   22,904 
 52,654     Silgan Holdings, Inc   1,413 
 69,011     Sonoco Products Co   3,623 
 56,197     Southern Copper Corp (NY)   2,634 
 156,511     Steel Dynamics, Inc   7,192 
 14,267     Stepan Co   1,113 
 78,354  *  Summit Materials, Inc   2,057 
 48,451  *  SunCoke Energy, Inc   649 
 207,059     Tahoe Resources, Inc   1,019 
 29,755  *,e  TimkenSteel Corp   486 
 15,246  *  Trecora Resources   226 
 19,671     Tredegar Corp   462 
 31,587     Trinseo S.A.   2,241 
 47,159     Tronox Ltd   928 
 4,630  *  UFP Technologies, Inc   143 
 1,357     United States Lime & Minerals, Inc   114 
 113,186     United States Steel Corp   3,933 
 11,048  *,e  US Concrete, Inc   580 
 16,839     Valhi, Inc   80 
 120,028     Valvoline, Inc   2,589 
 22,885  *  Verso Corp   498 
 90,183     Vulcan Materials Co   11,639 
302

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 11,178     Warrior Met Coal, Inc  $308 
 24,489     Westlake Chemical Corp   2,636 
 170,131     WestRock Co   9,701 
 31,289  *  Worthington Industries, Inc   1,313 
 48,393     WR Grace and Co   3,548 
       TOTAL MATERIALS   588,039 
 
MEDIA - 2.2%
 39,663  e  AMC Entertainment Holdings, Inc   631 
 27,567  *  AMC Networks, Inc   1,715 
 2,913     Cable One, Inc   2,136 
 229,939     CBS Corp (Class B)   12,927 
 57,360  *,e  Central European Media Enterprises Ltd (Class A) (NASDAQ)   238 
 122,556  *  Charter Communications, Inc   35,935 
 76,895     Cinemark Holdings, Inc   2,697 
 28,047     Clear Channel Outdoor Holdings, Inc (Class A)   121 
 3,120,983     Comcast Corp (Class A)   102,399 
 772  *,e  Daily Journal Corp   178 
 111,235  *,e  Discovery, Inc (Class A)   3,059 
 235,160  *  Discovery, Inc (Class C)   5,997 
 158,597  *  DISH Network Corp (Class A)   5,330 
 11,002     Emerald Expositions Events, Inc   227 
 88,350  e  Entercom Communications Corp (Class A)   667 
 50,932     Entravision Communications Corp (Class A)   255 
 20,620  *,e  Eros International plc   268 
 42,935     EW Scripps Co (Class A)   575 
 10,504  *,e  Fluent, Inc   26 
 86,657     Gannett Co, Inc   927 
 68,741  *  GCI Liberty, Inc   3,099 
 46,930  *  Gray Television, Inc   741 
 11,523  *  Hemisphere Media Group, Inc   151 
 42,177  *  Imax Corp   934 
 256,720     Interpublic Group of Cos, Inc   6,018 
 30,218     John Wiley & Sons, Inc (Class A)   1,886 
 7,655  *  Liberty Braves Group (Class A)   197 
 25,374  *,e  Liberty Braves Group (Class C)   656 
 17,476  *  Liberty Broadband Corp (Class A)   1,322 
 74,265  *  Liberty Broadband Corp (Class C)   5,623 
 77,076  *  Liberty Latin America Ltd   1,494 
 29,453  *  Liberty Latin America Ltd (Class A)   563 
 15,619  *  Liberty Media Group (Class A)   552 
 123,792  *  Liberty Media Group (Class C)   4,596 
 50,898  *  Liberty SiriusXM Group (Class A)   2,293 
 115,843  *  Liberty SiriusXM Group (Class C)   5,255 
 37,150  e  Lions Gate Entertainment Corp (Class A)   922 
 71,817     Lions Gate Entertainment Corp (Class B)   1,685 
 96,974  *  Live Nation, Inc   4,710 
 18,451  *  LiveXLive Media, Inc   106 
 9,932  *  Loral Space & Communications, Inc   373 
 13,200  *  Madison Square Garden Co   4,095 
 14,211     Marcus Corp   462 
 37,799  *  MDC Partners, Inc   174 
303

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 27,920  e  Meredith Corp  $1,424 
 43,336  *  MSG Networks, Inc   1,038 
 46,358     National CineMedia, Inc   389 
 36,183     New Media Investment Group, Inc   669 
 89,935     New York Times Co (Class A)   2,329 
 268,456     News Corp   4,161 
 86,319     News Corp (Class B)   1,368 
 31,898     Nexstar Broadcasting Group, Inc (Class A)   2,341 
 153,811     Omnicom Group, Inc   11,731 
 12,373  *  Reading International, Inc   197 
 1,728  *,m  Rovi Guides, Inc   6 
 3,161     Saga Communications, Inc   122 
 19,984     Scholastic Corp   885 
 51,858  e  Sinclair Broadcast Group, Inc (Class A)   1,667 
 877,533  e  Sirius XM Holdings, Inc   5,941 
 156,124     TEGNA, Inc   1,694 
 52,414     Tribune Co   2,006 
 15,283  *  tronc, Inc   264 
 718,061     Twenty-First Century Fox, Inc   35,680 
 333,473     Twenty-First Century Fox, Inc (Class B)   16,430 
 7,706  e  Viacom, Inc   273 
 233,649     Viacom, Inc (Class B)   7,047 
 1,018,460     Walt Disney Co   106,745 
 15,148  *,e  WideOpenWest, Inc   146 
 27,047  e  World Wrestling Entertainment, Inc (Class A)   1,970 
       TOTAL MEDIA   430,738 
 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 7.6%
 1,084,793     AbbVie, Inc   100,506 
 18,729  *,e  Abeona Therapeutics, Inc   300 
 70,913  *,e  Acadia Pharmaceuticals, Inc   1,083 
 18,841  *  Accelerate Diagnostics, Inc   420 
 22,847  *  Acceleron Pharma, Inc   1,109 
 21,294  *,e  Achaogen, Inc   184 
 86,253  *  Achillion Pharmaceuticals, Inc   244 
 14,790  *,e  Aclaris Therapeutics, Inc   295 
 31,389  *  Acorda Therapeutics, Inc   901 
 12,735  *,e  Adamas Pharmaceuticals, Inc   329 
 26,641  *,e  Aduro Biotech, Inc   187 
 36,900  *  Adverum Biotechnologies, Inc   196 
 21,807  *  Aerie Pharmaceuticals, Inc   1,473 
 56,789  *,e  Agenus, Inc   129 
 223,758     Agilent Technologies, Inc   13,837 
 34,493  *  Agios Pharmaceuticals, Inc   2,905 
 25,712  *  Aimmune Therapeutics, Inc   691 
 10,845  *,e  Akcea Therapeutics, Inc   257 
 26,366  *  Akebia Therapeutics, Inc   263 
 64,824  *  Akorn, Inc   1,075 
 6,175  *  Albireo Pharma, Inc   219 
 34,164  *,e  Alder Biopharmaceuticals, Inc   540 
 147,168  *  Alexion Pharmaceuticals, Inc   18,271 
 110,420  *  Alkermes plc   4,545 
 231,727     Allergan plc   38,634 
 60,843  *  Alnylam Pharmaceuticals, Inc   5,992 
304

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 25,493  *  AMAG Pharmaceuticals, Inc  $497 
 452,181     Amgen, Inc   83,468 
 128,302  *,e  Amicus Therapeutics, Inc   2,004 
 53,162  *  Amneal Pharmaceuticals, Inc   872 
 25,774  *  Amphastar Pharmaceuticals, Inc   393 
 12,566  *  AnaptysBio, Inc   893 
 5,767  *  ANI Pharmaceuticals, Inc   385 
 24,477  *,e  Apellis Pharmaceuticals, Inc   539 
 29,050  *  Aratana Therapeutics, Inc   123 
 23,940  *  Arbutus Biopharma Corp   175 
 22,973  *  Ardelyx, Inc   85 
 33,642  *  Arena Pharmaceuticals, Inc   1,467 
 58,861  *  Arqule, Inc   326 
 126,892  *  Array Biopharma, Inc   2,129 
 58,978  *,e  Arrowhead Research Corp   802 
 10,043  *  Assembly Biosciences, Inc   394 
 27,557  *,e  Atara Biotherapeutics, Inc   1,013 
 28,525  *,e  Athenex, Inc   532 
 52,762  *,e  Athersys, Inc   104 
 21,700  *  Audentes Therapeutics, Inc   829 
 68,882  *,e  AVEO Pharmaceuticals, Inc   156 
 19,950  *,e  Bellicum Pharmaceuticals, Inc   147 
 53,741  *,e  BioCryst Pharmaceuticals, Inc   308 
 143,960  *  Biogen Idec, Inc   41,783 
 18,525  *  Biohaven Pharmaceutical Holding Co Ltd   732 
 120,472  *  BioMarin Pharmaceutical, Inc   11,348 
 15,362  *  Bio-Rad Laboratories, Inc (Class A)   4,433 
 3,856  *  Biospecifics Technologies Corp   173 
 25,935     Bio-Techne Corp   3,837 
 56,186  *,e  BioTime, Inc   116 
 33,689  *  Bluebird Bio, Inc   5,288 
 28,144  *  Blueprint Medicines Corp   1,787 
 1,117,186     Bristol-Myers Squibb Co   61,825 
 76,600     Bruker BioSciences Corp   2,224 
 21,820  *  Calithera Biosciences, Inc   109 
 5,849  *,e  Calyxt, Inc   109 
 23,380  *  Cambrex Corp   1,223 
 19,366  *,e  Cara Therapeutics Inc   371 
 21,908  *  CareDx, Inc   268 
 33,837  *,e  CASI Pharmaceuticals, Inc   278 
 90,837  *  Catalent, Inc   3,805 
 50,782  *  Catalyst Pharmaceuticals, Inc   158 
 493,907  *  Celgene Corp   39,226 
 34,386  *  Charles River Laboratories International, Inc   3,860 
 18,304  *  ChemoCentryx, Inc   241 
 30,594  *  Chimerix, Inc   146 
 14,633  *,e  Clearside Biomedical, Inc   156 
 28,355  *  Clovis Oncology, Inc   1,289 
 23,538  *  Codexis, Inc   339 
 15,129  *  Cohbar, Inc   99 
 27,864  *  Coherus Biosciences, Inc   390 
 16,286  *,e  Collegium Pharmaceutical, Inc   388 
 11,239  *  Concert Pharmaceuticals Inc   189 
305

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 32,828  *,e  Corbus Pharmaceuticals Holdings, Inc  $166 
 65,375  *,e  Corcept Therapeutics, Inc   1,028 
 15,295  *,e  Corium International, Inc   123 
 6,717  *,e  Corvus Pharmaceuticals, Inc   74 
 34,612  *,e  CTI BioPharma Corp   172 
 11,975  *  Cue Biopharma, Inc   142 
 39,943  *  Cymabay Therapeutics, Inc   536 
 30,153  *  Cytokinetics, Inc   250 
 21,311  *  CytomX Therapeutics, Inc   487 
 5,156  *  Deciphera Pharmaceuticals, Inc   203 
 11,457  *  Denali Therapeutics, Inc   175 
 44,278  *  Depomed, Inc   295 
 27,246  *  Dermira, Inc   251 
 30,105  *  Dicerna Pharmaceuticals Inc   369 
 7,981  *,e  Dova Pharmaceuticals, Inc   239 
 84,059  *  Durect Corp   131 
 35,256  *  Dynavax Technologies Corp   538 
 6,368  *,e  Eagle Pharmaceuticals, Inc   482 
 24,325  *  Editas Medicine, Inc   872 
 658,111     Eli Lilly & Co   56,157 
 14,575  *  Eloxx Pharmaceuticals, Inc   249 
 24,015  *  Emergent Biosolutions, Inc   1,213 
 11,786  *  Enanta Pharmaceuticals, Inc   1,366 
 161,263  *  Endo International plc   1,521 
 44,054  *  Endocyte, Inc   608 
 27,058  *  Enzo Biochem, Inc   140 
 29,818  *  Epizyme, Inc   404 
 9,694  *,e  Esperion Thereapeutics, Inc   380 
 79,297  *  Exact Sciences Corp   4,741 
 189,826  *  Exelixis, Inc   4,085 
 24,636  *,e  Fate Therapeutics, Inc   279 
 50,667  *  FibroGen, Inc   3,172 
 19,800  *  Five Prime Therapeutics, Inc   313 
 19,463  *,e  Flexion Therapeutics Inc   503 
 20,851  *  Fluidigm Corp   124 
 24,951  *,e  Fortress Biotech, Inc   74 
 10,540  *,e  Foundation Medicine, Inc   1,441 
 5,695  *  G1 Therapeutics, Inc   248 
 14,071  *  Genomic Health, Inc   709 
 114,325  *,e  Geron Corp   392 
 884,130     Gilead Sciences, Inc   62,632 
 26,450  *  Global Blood Therapeutics, Inc   1,196 
 22,784  *  GlycoMimetics Inc   368 
 79,065  *  Halozyme Therapeutics, Inc   1,334 
 32,353  *  Heron Therapeutics, Inc   1,257 
 118,653  *  Horizon Pharma plc   1,965 
 62,986  *  Idera Pharmaceuticals, Inc   83 
 100,279  *  Illumina, Inc   28,007 
 8,484  *  Immune Design Corp   39 
 65,469  *  Immunogen, Inc   637 
 89,330  *,e  Immunomedics, Inc   2,114 
 123,042  *  Incyte Corp   8,244 
 55,553  *  Innoviva, Inc   767 
 49,160  *,e  Inovio Pharmaceuticals, Inc   193 
306

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 45,452  *  Insmed, Inc  $1,075 
 17,481  *,e  Insys Therapeutics, Inc   127 
 10,757  *,e  Intellia Therapeutics, Inc   294 
 12,921  *,e  Intercept Pharmaceuticals, Inc   1,084 
 18,642  *  Intersect ENT, Inc   698 
 25,348  *  Intra-Cellular Therapies, Inc   448 
 39,434  *,e  Intrexon Corp   550 
 27,249  *,e  Invitae Corp   200 
 89,084  *  Ionis Pharmaceuticals, Inc   3,712 
 34,093  *  Iovance Biotherapeutics, Inc   436 
 105,688  *  IQVIA Holdings, Inc   10,550 
 95,014  *  Ironwood Pharmaceuticals, Inc   1,817 
 40,066  *  Jazz Pharmaceuticals plc   6,903 
 1,834,087     Johnson & Johnson   222,548 
 4,482  *,e  Jounce Therapeutics, Inc   34 
 47,099  *  Kadmon Holdings, Inc   188 
 5,857  *  Kala Pharmaceuticals, Inc   80 
 23,632  *  Karyopharm Therapeutics, Inc   402 
 59,203  *,e  Keryx Biopharmaceuticals, Inc   223 
 15,620  *  Kindred Biosciences Inc   166 
 10,057  *  Kura Oncology, Inc   183 
 12,410  *,e  La Jolla Pharmaceutical Co   362 
 19,506  *,e  Lannett Co, Inc   265 
 30,110  *,e  Lexicon Pharmaceuticals, Inc   361 
 14,752  *  Ligand Pharmaceuticals, Inc (Class B)   3,056 
 17,994  *  Loxo Oncology, Inc   3,122 
 31,134     Luminex Corp   919 
 23,459  *  MacroGenics, Inc   484 
 3,934  *  Madrigal Pharmaceuticals, Inc   1,100 
 72,043  *,e  Mallinckrodt plc   1,344 
 94,899  *,e  MannKind Corp   180 
 24,678  *  Marinus Pharmaceuticals, Inc   174 
 49,764  *,e  Medicines Co   1,826 
 22,034  *,e  MediciNova, Inc   175 
 5,025  *  Medpace Holdings, Inc   216 
 6,150  *  Melinta Therapeutics, Inc   39 
 8,441  *  Mersana Therapeutics, Inc   151 
 17,325  *  Mettler-Toledo International, Inc   10,025 
 75,041  *,e  MiMedx Group, Inc   480 
 18,922  *  Minerva Neurosciences, Inc   156 
 10,019  *,e  Miragen Therapeutics, Inc   64 
 12,275  *,e  Mirati Therapeutics, Inc   605 
 53,355  *  Momenta Pharmaceuticals, Inc   1,091 
 350,312  *  Mylan NV   12,660 
 20,674  *  MyoKardia, Inc   1,026 
 46,607  *  Myriad Genetics, Inc   1,742 
 10,862  *  NanoString Technologies, Inc   149 
 22,232  *,e  NantKwest, Inc   68 
 19,889  *  Natera, Inc   374 
 106,507  *  Nektar Therapeutics   5,201 
 38,546  *,e  NeoGenomics, Inc   505 
 10,102  *,e  Neos Therapeutics, Inc   63 
 63,342  *  Neurocrine Biosciences, Inc   6,223 
307

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 14,869  *,e  NewLink Genetics Corp  $71 
 197,987  *,e  Novavax, Inc   265 
 19,320  *,e  Nymox Pharmaceutical Corp   65 
 13,115  *,e  Ocular Therapeutix, Inc   89 
 29,642  *,e  Omeros Corp   538 
 238,337  *,e  Opko Health, Inc   1,120 
 10,903  *,e  Optinose, Inc   305 
 60,008  *,e  Organovo Holdings, Inc   84 
 4,292  *,e  Ovid therapeutics, Inc   33 
 55,440  *,e  Pacific Biosciences of California, Inc   197 
 28,237  *  Pacira Pharmaceuticals, Inc   905 
 17,330  *,e  Paratek Pharmaceuticals, Inc   177 
 120,653  *  PDL BioPharma, Inc   282 
 78,986  *  PerkinElmer, Inc   5,784 
 92,108     Perrigo Co plc   6,716 
 3,963,542     Pfizer, Inc   143,797 
 12,927     Phibro Animal Health Corp   595 
 24,527  *  Pieris Pharmaceuticals, Inc   124 
 5,876  *,e  PolarityTE, Inc   138 
 36,240  *  Portola Pharmaceuticals, Inc   1,369 
 34,913  *  PRA Health Sciences, Inc   3,259 
 38,233  *  Prestige Brands Holdings, Inc   1,467 
 51,583  *  Progenics Pharmaceuticals, Inc   415 
 27,579  *  Prothena Corp plc   402 
 25,096  *  PTC Therapeutics, Inc   847 
 20,506  *  Puma Biotechnology, Inc   1,213 
 149,997     QIAGEN NV   5,424 
 8,205  *  Ra Pharmaceuticals, Inc   82 
 27,010  *,e  Radius Health, Inc   796 
 6,375  *,e  Reata Pharmaceuticals, Inc   223 
 8,471  *  Recro Pharma, Inc   43 
 55,147  *  Regeneron Pharmaceuticals, Inc   19,025 
 19,715  *  REGENXBIO, Inc   1,415 
 24,847  *  Repligen Corp   1,169 
 25,726  *  Retrophin, Inc   701 
 15,494  *  Revance Therapeutics, Inc   425 
 6,147  *  Rhythm Pharmaceuticals, Inc   192 
 86,450  *  Rigel Pharmaceuticals, Inc   245 
 14,146  *,e  Rocket Pharmaceuticals, Inc   278 
 28,996  *  Sage Therapeutics, Inc   4,539 
 52,234  *  Sangamo Biosciences, Inc   742 
 42,194  *,e  Sarepta Therapeutics, Inc   5,577 
 16,939  *,e  Savara, Inc   192 
 1,839,464     Schering-Plough Corp   111,656 
 70,004  *  Seattle Genetics, Inc   4,648 
 8,829  *,e  Selecta Biosciences, Inc   117 
 13,345  *,e  Seres Therapeutics, Inc   115 
 10,453  *  Sienna Biopharmaceuticals, Inc   159 
 35,191  *  SIGA Technologies, Inc   209 
 6,168  *,e  Solid Biosciences, Inc   220 
 58,895  *,e  Sorrento Therapeutics, Inc   424 
 16,648  *,e  Spark Therapeutics, Inc   1,378 
 56,104  *  Spectrum Pharmaceuticals, Inc   1,176 
 12,168  *  Stemline Therapeutics, Inc   195 
308

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 34,621  *  Supernus Pharmaceuticals, Inc  $2,072 
 6,983  *  Syndax Pharmaceuticals, Inc   49 
 39,474  *  Syneos Health, Inc   1,851 
 164,107  *,e  Synergy Pharmaceuticals, Inc   286 
 9,466  *  Syros Pharmaceuticals, Inc   97 
 17,332  *  T2 Biosystems, Inc   134 
 29,885  *,e  Teligent, Inc   103 
 26,872  *,e  TESARO, Inc   1,195 
 26,726  *  Tetraphase Pharmaceuticals, Inc   95 
 34,724  *,e  TG Therapeutics, Inc   457 
 114,084  *,e  TherapeuticsMD, Inc   712 
 29,259  *,e  Theravance Biopharma, Inc   664 
 275,395     Thermo Fisher Scientific, Inc   57,045 
 6,159  *,e  Tocagen, Inc   58 
 28,669  *  Ultragenyx Pharmaceutical, Inc   2,204 
 28,234  *  United Therapeutics Corp   3,195 
 31,395  *  Vanda Pharmaceuticals, Inc   598 
 16,367  *  Veracyte, Inc   153 
 35,826  *  Verastem, Inc   246 
 24,994  *  Vericel Corp   242 
 171,783  *  Vertex Pharmaceuticals, Inc   29,196 
 29,514  *  Viking Therapeutics, Inc   280 
 8,673  *  Voyager Therapeutics, Inc   169 
 52,057  *  Waters Corp   10,078 
 8,910  *  WaVe Life Sciences Pte Ltd   341 
 27,098  *  Xencor Inc   1,003 
 90,754  *,e  ZIOPHARM Oncology, Inc   274 
 330,760     Zoetis, Inc   28,177 
 17,421  *  Zogenix, Inc   770 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   1,451,194 
 
REAL ESTATE - 3.9%
 60,331     Acadia Realty Trust   1,651 
 18,415     Agree Realty Corp   972 
 47,563     Alexander & Baldwin, Inc   1,118 
 1,329     Alexander’s, Inc   508 
 69,354     Alexandria Real Estate Equities, Inc   8,750 
 8,343  *,e  Altisource Portfolio Solutions S.A.   243 
 28,646     American Assets Trust, Inc   1,097 
 96,842     American Campus Communities, Inc   4,153 
 164,177     American Homes 4 Rent   3,641 
 299,513     American Tower Corp   43,181 
 36,156     Americold Realty Trust   796 
 111,644     Apartment Investment & Management Co (Class A)   4,723 
 147,197     Apple Hospitality REIT, Inc   2,632 
 31,681     Armada Hoffler Properties, Inc   472 
 56,474     Ashford Hospitality Trust, Inc   457 
 7,072  *  AV Homes, Inc   151 
 92,922     AvalonBay Communities, Inc   15,972 
 16,903  e  Bluerock Residential Growth REIT, Inc   151 
 106,248     Boston Properties, Inc   13,326 
 20,771     BraeMar Hotels & Resorts, Inc   237 
 121,360     Brandywine Realty Trust   2,049 
309

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 218,369     Brixmor Property Group, Inc  $3,806 
 61,667     Camden Property Trust   5,620 
 50,740     CareTrust REIT, Inc   847 
 29,192     CatchMark Timber Trust Inc   372 
 124,137  e  CBL & Associates Properties, Inc   691 
 216,790  *  CBRE Group, Inc   10,350 
 62,949     Cedar Realty Trust, Inc   297 
 28,285     Chatham Lodging Trust   600 
 40,024     Chesapeake Lodging Trust   1,266 
 21,833     City Office REIT, Inc   280 
 10,462  e  Clipper Realty, Inc   89 
 350,580     Colony Capital, Inc   2,188 
 83,894     Columbia Property Trust, Inc   1,905 
 9,586     Community Healthcare Trust, Inc   286 
 3,235     Consolidated-Tomoka Land Co   199 
 86,682     CoreCivic, Inc   2,071 
 9,299     CorEnergy Infrastructure Trust, Inc   350 
 30,563  *  CorePoint Lodging, Inc   792 
 24,799     Coresite Realty   2,748 
 72,219     Corporate Office Properties Trust   2,094 
 301,076     Cousins Properties, Inc   2,917 
 279,811     Crown Castle International Corp   30,169 
 131,589     CubeSmart   4,240 
 62,800     CyrusOne, Inc   3,665 
 66,623     DCT Industrial Trust, Inc   4,446 
 103,764     DDR Corp   1,857 
 144,818     DiamondRock Hospitality Co   1,778 
 140,314     Digital Realty Trust, Inc   15,656 
 102,445     Douglas Emmett, Inc   4,116 
 236,841     Duke Realty Corp   6,875 
 26,096     Easterly Government Properties, Inc   516 
 23,492     EastGroup Properties, Inc   2,245 
 52,715     Education Realty Trust, Inc   2,188 
 87,790     Empire State Realty Trust, Inc   1,501 
 45,571     Entertainment Properties Trust   2,953 
 53,440     Equinix, Inc   22,973 
 80,064  *  Equity Commonwealth   2,522 
 57,729     Equity Lifestyle Properties, Inc   5,305 
 249,420     Equity Residential   15,886 
 44,504     Essex Property Trust, Inc   10,640 
 82,938     Extra Space Storage, Inc   8,278 
 19,962  e  Farmland Partners, Inc   176 
 52,442     Federal Realty Investment Trust   6,637 
 80,676     First Industrial Realty Trust, Inc   2,690 
 145,408     Forest City Realty Trust, Inc   3,317 
 425  *,e  Forestar Group, Inc   9 
 44,705     Four Corners Property Trust, Inc   1,101 
 72,511     Franklin Street Properties Corp   621 
 37,147     Front Yard Residential Corp   387 
 4,942  *  FRP Holdings, Inc   320 
 141,130     Gaming and Leisure Properties, Inc   5,052 
 87,896     Geo Group, Inc   2,421 
 18,198     Getty Realty Corp   513 
 421,393     GGP, Inc   8,609 
310

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 17,811     Gladstone Commercial Corp  $342 
 10,990  e  Global Medical REIT, Inc   97 
 44,961     Global Net Lease, Inc   919 
 51,670     Government Properties Income Trust   819 
 108,607     Gramercy Property Trust   2,967 
 35,286  e  Hannon Armstrong Sustainable Infrastructure Capital, Inc   697 
 322,762     HCP, Inc   8,334 
 82,789     Healthcare Realty Trust, Inc   2,407 
 142,087     Healthcare Trust of America, Inc   3,831 
 27,708     Hersha Hospitality Trust   594 
 14,600     HFF, Inc (Class A)   501 
 71,000     Highwoods Properties, Inc   3,602 
 115,061     Hospitality Properties Trust   3,292 
 504,248     Host Marriott Corp   10,624 
 24,727  *  Howard Hughes Corp   3,276 
 113,109     Hudson Pacific Properties   4,007 
 48,914     Independence Realty Trust, Inc   504 
 14,095     Industrial Logistics Properties Trust   315 
 4,353  e  Innovative Industrial Properties, Inc   159 
 90,609     Investors Real Estate Trust   501 
 207,077     Invitation Homes, Inc   4,775 
 190,342     Iron Mountain, Inc   6,664 
 49,646  *  iStar Financial, Inc   536 
 62,519     JBG SMITH Properties   2,280 
 6,203  e  Jernigan Capital, Inc   118 
 28,591     Jones Lang LaSalle, Inc   4,746 
 84,885     Kennedy-Wilson Holdings, Inc   1,795 
 69,929     Kilroy Realty Corp   5,289 
 297,898     Kimco Realty Corp   5,061 
 55,102     Kite Realty Group Trust   941 
 51,720     Lamar Advertising Co   3,533 
 81,319     LaSalle Hotel Properties   2,784 
 144,484     Lexington Realty Trust   1,261 
 104,529     Liberty Property Trust   4,634 
 31,791     Life Storage, Inc   3,094 
 26,668     LTC Properties, Inc   1,140 
 92,755     Macerich Co   5,271 
 65,387     Mack-Cali Realty Corp   1,326 
 11,498  *  Marcus & Millichap, Inc   449 
 4,532  *  Maui Land & Pineapple Co, Inc   51 
 20,532     MedEquities Realty Trust, Inc   226 
 258,540     Medical Properties Trust, Inc   3,630 
 77,362     Mid-America Apartment Communities, Inc   7,788 
 50,307     Monmouth Real Estate Investment Corp (Class A)   832 
 27,301     National Health Investors, Inc   2,012 
 107,903     National Retail Properties, Inc   4,743 
 31,451     National Storage Affiliates Trust   969 
 55,714     New Senior Investment Group, Inc   422 
 16,319     Newmark Group, Inc   232 
 12,730     NexPoint Residential Trust, Inc   362 
 42,262     NorthStar Realty Europe Corp   612 
 139,485  e  Omega Healthcare Investors, Inc   4,324 
 9,027     One Liberty Properties, Inc   238 
311

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 97,077     Outfront Media, Inc  $1,888 
 141,733     Paramount Group, Inc   2,183 
 136,729     Park Hotels & Resorts, Inc   4,188 
 49,813     Pebblebrook Hotel Trust   1,933 
 52,388  e  Pennsylvania REIT   576 
 107,460     Physicians Realty Trust   1,713 
 100,383     Piedmont Office Realty Trust, Inc   2,001 
 44,027     Potlatch Corp   2,239 
 21,687     Preferred Apartment Communities, Inc   368 
 363,022     Prologis, Inc   23,847 
 13,748     PS Business Parks, Inc   1,767 
 101,140     Public Storage, Inc   22,945 
 34,553     QTS Realty Trust, Inc   1,365 
 69,475  *  Quality Care Properties, Inc   1,494 
 57,913     Ramco-Gershenson Properties   765 
 89,792     Rayonier, Inc   3,474 
 13,117     Re/Max Holdings, Inc   688 
 75,694  e  Realogy Holdings Corp   1,726 
 198,343     Realty Income Corp   10,669 
 40,113  *,e  Redfin Corp   926 
 108,110     Regency Centers Corp   6,711 
 78,162     Retail Opportunities Investment Corp   1,498 
 173,060     Retail Properties of America, Inc   2,212 
 48,113     Rexford Industrial Realty, Inc   1,510 
 124,274     RLJ Lodging Trust   2,740 
 5,123     RMR Group, Inc   402 
 31,992     Ryman Hospitality Properties   2,660 
 116,469     Sabra Healthcare REIT, Inc   2,531 
 7,521     Safety Income and Growth, Inc   143 
 6,451     Saul Centers, Inc   346 
 79,086  *  SBA Communications Corp   13,059 
 41,385     Select Income REIT   930 
 170,932     Senior Housing Properties Trust   3,092 
 18,501  e  Seritage Growth Properties   785 
 210,397     Simon Property Group, Inc   35,807 
 58,281     SL Green Realty Corp   5,859 
 28,096  *  Spirit MTA REIT   289 
 280,967     Spirit Realty Capital, Inc   2,256 
 33,773  *  St. Joe Co   606 
 64,412     STAG Industrial, Inc   1,754 
 174,103     Starwood Property Trust, Inc   3,780 
 121,165     STORE Capital Corp   3,320 
 4,495     Stratus Properties, Inc   137 
 73,018     Summit Hotel Properties, Inc   1,045 
 52,001     Sun Communities, Inc   5,090 
 159,024     Sunstone Hotel Investors, Inc   2,643 
 67,688  e  Tanger Factory Outlet Centers, Inc   1,590 
 41,435     Taubman Centers, Inc   2,435 
 12,164  *  Tejon Ranch Co   296 
 35,329     Terreno Realty Corp   1,331 
 34,663     Tier REIT, Inc   824 
 13,643  *,e  Trinity Place Holdings, Inc   89 
 175,727     UDR, Inc   6,597 
 20,169     UMH Properties, Inc   310 
312

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 119,952  e  Uniti Group, Inc  $2,403 
 9,264     Universal Health Realty Income Trust   593 
 70,770     Urban Edge Properties   1,618 
 20,808     Urstadt Biddle Properties, Inc (Class A)   471 
 247,662     Ventas, Inc   14,104 
 661,427     VEREIT, Inc   4,921 
 189,427     VICI Properties, Inc   3,910 
 117,610     Vornado Realty Trust   8,694 
 134,922     Washington Prime Group, Inc   1,094 
 53,425     Washington REIT   1,620 
 86,814     Weingarten Realty Investors   2,675 
 256,728     Welltower, Inc   16,094 
 508,966     Weyerhaeuser Co   18,557 
 25,132     Whitestone REIT   314 
 76,656     WP Carey, Inc   5,086 
 79,064     Xenia Hotels & Resorts, Inc   1,926 
       TOTAL REAL ESTATE   741,148 
 
RETAILING - 6.3%
 18,290  *  1-800-FLOWERS.COM, Inc (Class A)   230 
 45,849     Aaron’s, Inc   1,992 
 51,631     Abercrombie & Fitch Co (Class A)   1,264 
 46,868     Advance Auto Parts, Inc   6,360 
 277,725  *  Amazon.com, Inc   472,077 
 117,400     American Eagle Outfitters, Inc   2,730 
 5,481  *  America’s Car-Mart, Inc   339 
 13,496  *  Asbury Automotive Group, Inc   925 
 17,984  *  At Home Group, Inc   704 
 36,032  *  Autonation, Inc   1,750 
 18,295  *  AutoZone, Inc   12,275 
 29,015  *  Barnes & Noble Education, Inc   164 
 40,294     Barnes & Noble, Inc   256 
 76,045     Bed Bath & Beyond, Inc   1,515 
 165,042     Best Buy Co, Inc   12,309 
 14,390  e  Big 5 Sporting Goods Corp   109 
 20,052  e  Big Lots, Inc   838 
 32,859  *  Booking Holdings, Inc   66,608 
 9,762  *  Boot Barn Holdings, Inc   203 
 14,004  e  Buckle, Inc   377 
 44,520  *  Burlington Stores, Inc   6,702 
 28,267     Caleres, Inc   972 
 22,123  e  Camping World Holdings, Inc   553 
 121,162  *  CarMax, Inc   8,829 
 10,677  *,e  Carvana Co   444 
 12,003     Cato Corp (Class A)   296 
 83,036     Chico’s FAS, Inc   676 
 12,596     Children’s Place Retail Stores, Inc   1,522 
 11,556     Citi Trends, Inc   317 
 13,169  *,e  Conn’s, Inc   435 
 11,400  *,e  Container Store Group, Inc   96 
 33,096     Core-Mark Holding Co, Inc   751 
 52,804     Dick’s Sporting Goods, Inc   1,861 
 10,952  e  Dillard’s, Inc (Class A)   1,035 
313

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 186,664     Dollar General Corp  $18,405 
 161,125  *  Dollar Tree, Inc   13,696 
 49,292     DSW, Inc (Class A)   1,273 
 7,236  *,e  Duluth Holdings, Inc   172 
 83,587     Expedia, Inc   10,046 
 55,323  *  Express Parent LLC   506 
 39,150  *  Five Below, Inc   3,825 
 20,355  *  Floor & Decor Holdings, Inc   1,004 
 83,075     Foot Locker, Inc   4,374 
 25,440  *  Francesca’s Holdings Corp   192 
 6,584  *  Gaia, Inc   133 
 67,461  e  GameStop Corp (Class A)   983 
 152,120     Gap, Inc   4,927 
 13,677  *  Genesco, Inc   543 
 97,329     Genuine Parts Co   8,934 
 50,651  *,e  GNC Holdings, Inc   178 
 14,604     Group 1 Automotive, Inc   920 
 244,899  *  Groupon, Inc   1,053 
 44,451     Guess?, Inc   951 
 13,840     Haverty Furniture Cos, Inc   299 
 16,994  *,e  Hibbett Sports, Inc   389 
 787,365     Home Depot, Inc   153,615 
 27,375  *  Hudson Ltd   479 
 8,070  *  J. Jill, Inc   75 
 228,517  *,e  JC Penney Co, Inc   535 
 12,718  *  Kirkland’s, Inc   148 
 114,318     Kohl’s Corp   8,334 
 162,527     L Brands, Inc   5,994 
 9,431  *  Lands’ End, Inc   263 
 39,468  *  Liberty Expedia Holdings, Inc   1,734 
 53,282  *  Liberty TripAdvisor Holdings, Inc   858 
 16,930     Lithia Motors, Inc (Class A)   1,601 
 211,254  *  LKQ Corp   6,739 
 564,239     Lowe’s Companies, Inc   53,924 
 19,294  *,e  Lumber Liquidators, Inc   470 
 215,124     Macy’s, Inc   8,052 
 18,578  *  MarineMax, Inc   352 
 61,561  *  Michaels Cos, Inc   1,180 
 23,604  e  Monro Muffler, Inc   1,371 
 16,896  *  Murphy USA, Inc   1,255 
 12,838  *  National Vision Holdings, Inc   470 
 284,600  *  NetFlix, Inc   111,401 
 84,693     Nordstrom, Inc   4,385 
 21,359     Nutri/System, Inc   822 
 375,116     Office Depot, Inc   957 
 34,400  *  Ollie’s Bargain Outlet Holdings, Inc   2,494 
 54,834  *  O’Reilly Automotive, Inc   15,001 
 12,199  *,e  Overstock.com, Inc   411 
 17,507  *  Party City Holdco, Inc   267 
 24,110     Penske Auto Group, Inc   1,130 
 14,105  e  PetMed Express, Inc   621 
 59,095     Pier 1 Imports, Inc   141 
 312,118  *  Qurate Retail Group, Inc QVC Group   6,623 
 30,873  e  Rent-A-Center, Inc   454 
314

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 14,305  *,e  RH  $1,998 
 252,849     Ross Stores, Inc   21,429 
 66,571  *,e  Sally Beauty Holdings, Inc   1,067 
 2,356     Shoe Carnival, Inc   77 
 18,402  *  Shutterfly, Inc   1,657 
 38,798     Signet Jewelers Ltd   2,163 
 29,918  *  Sleep Number Corp   868 
 20,728     Sonic Automotive, Inc (Class A)   427 
 19,952  *,e  Sportsman’s Warehouse Holdings, Inc   102 
 26,598     Tailored Brands, Inc   679 
 366,277     Target Corp   27,881 
 84,372     Tiffany & Co   11,103 
 24,339     Tile Shop Holdings, Inc   187 
 6,790     Tilly’s, Inc   103 
 428,286     TJX Companies, Inc   40,764 
 86,269     Tractor Supply Co   6,599 
 71,015  *  TripAdvisor, Inc   3,956 
 39,841  *  Ulta Beauty, Inc   9,301 
 50,352  *  Urban Outfitters, Inc   2,243 
 38,206  *,e  Wayfair, Inc   4,537 
 56,628  e  Williams-Sonoma, Inc   3,476 
 1,945     Winmark Corp   289 
 11,661  *  Zumiez, Inc   292 
       TOTAL RETAILING   1,213,671 
  
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.9%
 13,345  *,e  Acacia Communications, Inc   465 
 26,575  *  Advanced Energy Industries, Inc   1,544 
 619,717  *,e  Advanced Micro Devices, Inc   9,290 
 15,539  *  Alpha & Omega Semiconductor Ltd   221 
 23,188  *,e  Ambarella, Inc   895 
 73,241  *  Amkor Technology, Inc   629 
 253,983     Analog Devices, Inc   24,362 
 720,234     Applied Materials, Inc   33,268 
 14,361  *  Aquantia Corp   166 
 20,849  *  Axcelis Technologies, Inc   413 
 26,991  *  AXT, Inc   190 
 294,470     Broadcom, Inc   71,450 
 49,923     Brooks Automation, Inc   1,628 
 17,388     Cabot Microelectronics Corp   1,870 
 47,258  *  Cavium, Inc   4,088 
 15,710  *  Ceva, Inc   474 
 46,452  *  Cirrus Logic, Inc   1,781 
 18,761     Cohu, Inc   460 
 70,502  *  Cree, Inc   2,931 
 236,910     Cypress Semiconductor Corp   3,691 
 28,713  *  Diodes, Inc   990 
 102,868     Entegris, Inc   3,487 
 49,996  *  First Solar, Inc   2,633 
 51,293  *  Formfactor, Inc   682 
 8,421  *,e  Ichor Holdings Ltd   179 
 13,074  *,e  Impinj, Inc   289 
 29,376  *,e  Inphi Corp   958 
315

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 96,873  *  Integrated Device Technology, Inc  $3,088 
 3,186,981     Intel Corp   158,425 
 108,495     Kla-Tencor Corp   11,124 
 50,517  *,e  Kopin Corp   144 
 110,620     Lam Research Corp   19,121 
 75,431  *  Lattice Semiconductor Corp   495 
 29,103  *,e  MA-COM Technology Solutions   671 
 269,916     Marvell Technology Group Ltd   5,787 
 192,499     Maxim Integrated Products, Inc   11,292 
 43,500  *  MaxLinear, Inc   678 
 154,628  e  Microchip Technology, Inc   14,063 
 790,089  *  Micron Technology, Inc   41,432 
 38,853     MKS Instruments, Inc   3,718 
 28,750     Monolithic Power Systems, Inc   3,843 
 18,167  *  Nanometrics, Inc   643 
 21,168  *,e  NeoPhotonics Corp Ltd   132 
 3,184     NVE Corp   388 
 397,542     NVIDIA Corp   94,178 
 237,107  *  NXP Semiconductors NV   25,909 
 279,225  *  ON Semiconductor Corp   6,209 
 20,605  *  PDF Solutions, Inc   247 
 46,544  *  Photronics, Inc   371 
 20,135     Power Integrations, Inc   1,471 
 83,066  *  Qorvo, Inc   6,659 
 1,010,098     QUALCOMM, Inc   56,687 
 79,664  *  Rambus, Inc   999 
 22,659  *  Rudolph Technologies, Inc   671 
 47,350  *  Semtech Corp   2,228 
 25,567  *  Sigma Designs, Inc   156 
 28,958  *  Silicon Laboratories, Inc   2,884 
 122,939     Skyworks Solutions, Inc   11,882 
 2,025  *,e  SMART Global Holdings, Inc   65 
 42,585  *,e  SunPower Corp   327 
 130,395     Teradyne, Inc   4,964 
 669,152     Texas Instruments, Inc   73,774 
 23,500  *  Ultra Clean Holdings   390 
 27,466  e  Universal Display Corp   2,362 
 34,384  *  Veeco Instruments, Inc   490 
 77,993     Versum Materials, Inc   2,897 
 37,527  *  Xcerra Corp   524 
 172,027     Xilinx, Inc   11,226 
 35,485     Xperi Corp   571 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   752,219 
 
SOFTWARE & SERVICES - 15.1%
 36,774  *  2U, Inc   3,073 
 65,506  *  8x8, Inc   1,313 
 32,215  *  A10 Networks, Inc   201 
 439,208     Accenture plc   71,850 
 86,241  *  ACI Worldwide, Inc   2,128 
 509,386     Activision Blizzard, Inc   38,876 
 57,158  *  Acxiom Corp   1,712 
 335,803  *  Adobe Systems, Inc   81,872 
 111,077  *  Akamai Technologies, Inc   8,134 
316

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 14,717  *  Alarm.com Holdings, Inc  $594 
 32,517     Alliance Data Systems Corp   7,583 
 204,298  *  Alphabet, Inc (Class A)   230,691 
 208,007  *  Alphabet, Inc (Class C)   232,063 
 16,908  *  Altair Engineering, Inc   578 
 18,942  *,e  Alteryx, Inc   723 
 11,882  *  Amber Road, Inc   112 
 95,104     Amdocs Ltd   6,295 
 15,720  *  American Software, Inc (Class A)   229 
 57,732  *  Ansys, Inc   10,056 
 5,867  *  Appfolio, Inc   359 
 12,607  *  Apptio, Inc   456 
 48,798  *  Aspen Technology, Inc   4,526 
 64,859  *  Atlassian Corp plc   4,055 
 149,687  *  Autodesk, Inc   19,622 
 300,844     Automatic Data Processing, Inc   40,355 
 70,813  *  Avaya Holdings Corp   1,422 
 11,374  *,e  Benefitfocus, Inc   382 
 96,845  *  Black Knight, Inc   5,186 
 34,044     Blackbaud, Inc   3,488 
 21,965  *  Blackline, Inc   954 
 30,473  *  Blucora, Inc   1,128 
 96,676     Booz Allen Hamilton Holding Co   4,228 
 29,562  *  Bottomline Technologies, Inc   1,473 
 86,219  *  Box, Inc   2,155 
 20,694  *  Brightcove, Inc   200 
 77,769     Broadridge Financial Solutions, Inc   8,951 
 209,879     CA, Inc   7,482 
 17,838  *  CACI International, Inc (Class A)   3,007 
 184,754  *  Cadence Design Systems, Inc   8,002 
 5,472  *  Carbon Black, Inc   142 
 18,030  *  Carbonite, Inc   629 
 33,955  *  Cardtronics plc   821 
 10,137  *  Care.com, Inc   212 
 33,333  *,e  Cargurus, Inc   1,158 
 51,951  *,e  Cars.com, Inc   1,475 
 8,830     Cass Information Systems, Inc   608 
 88,343     CDK Global, Inc   5,747 
 16,103  *  Ceridian HCM Holding, Inc   534 
 15,814  *  ChannelAdvisor Corp   222 
 26,536  *  Cision Ltd   397 
 92,308  *  Citrix Systems, Inc   9,678 
 68,978  *  Cloudera, Inc   941 
 401,455     Cognizant Technology Solutions Corp (Class A)   31,711 
 28,135  *  Commvault Systems, Inc   1,853 
 137,713  *  Conduent, Inc   2,502 
 16,758     ConvergeOne Holdings, Inc   157 
 67,630     Convergys Corp   1,653 
 37,259  *  Cornerstone OnDemand, Inc   1,767 
 36,045  *  Coupa Software, Inc   2,243 
 24,883     CSG Systems International, Inc   1,017 
 134,290  *  Dell Technologies, Inc-VMware Inc   11,358 
 7,264  *,e  Digimarc Corp   195 
317

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 17,071  *,e  DocuSign, Inc  $904 
 191,292     DXC Technology Co   15,420 
 642,733  *  eBay, Inc   23,306 
 17,480  e  Ebix, Inc   1,333 
 207,222  *  Electronic Arts, Inc   29,222 
 24,127  *,e  Ellie Mae, Inc   2,505 
 43,380  *  Endurance International Group Holdings, Inc   432 
 30,234  *  Envestnet, Inc   1,661 
 34,220  *  EPAM Systems, Inc   4,255 
 83,578  *  Etsy, Inc   3,526 
 35,298  *  Euronet Worldwide, Inc   2,957 
 12,571  *  Everbridge, Inc   596 
 45,885  *  Everi Holdings, Inc   330 
 44,094     EVERTEC, Inc   963 
 32,121  *  Exela Technologies, Inc   153 
 21,916  *  ExlService Holdings, Inc   1,241 
 1,623,985  *  Facebook, Inc   315,573 
 20,028  *  Fair Isaac Corp   3,872 
 225,986     Fidelity National Information Services, Inc   23,961 
 127,712  *  FireEye, Inc   1,965 
 48,580  *  First American Corp   2,521 
 336,138  *  First Data Corp   7,035 
 279,656  *  Fiserv, Inc   20,720 
 37,675  *  Five9, Inc   1,302 
 60,412  *  FleetCor Technologies, Inc   12,726 
 19,555  *  ForeScout Technologies, Inc   670 
 92,111  *  Fortinet, Inc   5,750 
 58,348  *  Gartner, Inc   7,754 
 97,664     Genpact Ltd   2,825 
 108,395     Global Payments, Inc   12,085 
 54,344  *  Glu Mobile, Inc   348 
 102,041  *  GoDaddy, Inc   7,204 
 42,541  *,e  Gogo, Inc   207 
 60,011  *  GrubHub, Inc   6,296 
 22,127  *,e  GTT Communications, Inc   996 
 52,363  *  Guidewire Software, Inc   4,649 
 17,956     Hackett Group, Inc   289 
 34,799  *  Hortonworks, Inc   634 
 24,272  *  HubSpot, Inc   3,044 
 49,755  *  IAC/InterActiveCorp   7,587 
 24,295  *  Imperva, Inc   1,172 
 24,668  *  Information Services Group, Inc   101 
 15,324  *  Instructure, Inc   652 
 14,801  *  Internap Corp   154 
 627,572     International Business Machines Corp   87,672 
 165,336     Intuit, Inc   33,779 
 33,493     j2 Global, Inc   2,901 
 55,229     Jack Henry & Associates, Inc   7,200 
 9,177  *  Leaf Group Ltd   100 
 101,147     Leidos Holdings, Inc   5,968 
 50,961  *  Limelight Networks, Inc   228 
 19,090  *  Liquidity Services, Inc   125 
 40,701  *  Liveperson, Inc   859 
 36,974     LogMeIn, Inc   3,818 
318

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 48,035  *  Manhattan Associates, Inc  $2,258 
 18,418     Mantech International Corp (Class A)   988 
 627,627     MasterCard, Inc (Class A)   123,341 
 35,129  *,e  Match Group, Inc   1,361 
 44,595     MAXIMUS, Inc   2,770 
 46,865  *  Meet Group, Inc   210 
 5,177,639     Microsoft Corp   510,567 
 6,844  *  MicroStrategy, Inc (Class A)   874 
 26,600  *  MINDBODY, Inc   1,027 
 22,456  *  Mitek Systems, Inc   200 
 40,466  *  MobileIron, Inc   180 
 14,483  *  Model N, Inc   269 
 22,389  *  MoneyGram International, Inc   150 
 29,292     Monotype Imaging Holdings, Inc   595 
 30,028  *  New Relic, Inc   3,021 
 46,584     NIC, Inc   724 
 208,409  *  Nuance Communications, Inc   2,894 
 75,444  *  Nutanix, Inc   3,891 
 58,404  *  Okta, Inc   2,942 
 21,489  *  OneSpan, Inc   422 
 1,962,691     Oracle Corp   86,476 
 163,222  *,e  Pandora Media, Inc   1,286 
 7,197  *,e  Park City Group, Inc   57 
 219,131     Paychex, Inc   14,978 
 35,482  *,e  Paycom Software, Inc   3,507 
 18,614  *  Paylocity Holding Corp   1,096 
 811,431  *  PayPal Holdings, Inc   67,568 
 26,462     Pegasystems, Inc   1,450 
 25,493  *  Perficient, Inc   672 
 95,646     Perspecta, Inc   1,966 
 13,412  *  Presidio, Inc   176 
 31,483     Progress Software Corp   1,222 
 34,295  *  Proofpoint, Inc   3,955 
 19,034  *  PROS Holdings, Inc   696 
 78,000  *  PTC, Inc   7,317 
 22,395  *  Q2 Holdings, Inc   1,278 
 7,729     QAD, Inc (Class A)   388 
 22,512  *  Qualys, Inc   1,898 
 20,643  *  QuinStreet, Inc   262 
 53,361  *  Quotient Technology, Inc   699 
 14,504  *  Rapid7, Inc   409 
 42,414  *  RealPage, Inc   2,337 
 119,825  *  Red Hat, Inc   16,101 
 6,528     Reis, Inc   142 
 44,988  *  RingCentral, Inc   3,165 
 13,437  *  Rosetta Stone, Inc   215 
 151,223     Sabre Corp   3,726 
 13,931  *  SailPoint Technologies Holding, Inc   342 
 481,928  *  salesforce.com, Inc   65,735 
 31,653     Science Applications International Corp   2,562 
 4,599  *,e  SecureWorks Corp   57 
 6,084  *  SendGrid, Inc   161 
 119,493  *  ServiceNow, Inc   20,609 
319

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 46,932  *  ServiceSource International LLC  $185 
 4,906  *  ShotSpotter, Inc   186 
 13,499  *  Shutterstock, Inc   641 
 98,246  *  Splunk, Inc   9,737 
 12,246  *  SPS Commerce, Inc   900 
 195,060  *  Square, Inc   12,024 
 140,643     SS&C Technologies Holdings, Inc   7,299 
 11,437  *  Stamps.com, Inc   2,894 
 25,754  e  Switch, Inc   313 
 29,262  *  Sykes Enterprises, Inc   842 
 429,847     Symantec Corp   8,876 
 100,694  *  Synopsys, Inc   8,616 
 23,254     Syntel, Inc   746 
 43,485  *  Tableau Software, Inc   4,251 
 73,771  *  Take-Two Interactive Software, Inc   8,732 
 12,153  *  TechTarget, Inc   345 
 20,400  *  TeleNav, Inc   114 
 76,002  *  Teradata Corp   3,051 
 84,788     TiVo Corp   1,140 
 123,503     Total System Services, Inc   10,438 
 21,360  *  Trade Desk, Inc   2,004 
 88,235     Travelport Worldwide Ltd   1,636 
 44,667  *  TrueCar, Inc   451 
 10,054     TTEC Holdings, Inc   347 
 6,516  *,e  Tucows, Inc   395 
 48,806  *  Twilio, Inc   2,734 
 482,858  *  Twitter, Inc   21,086 
 24,426  *  Tyler Technologies, Inc   5,425 
 20,094  *  Ultimate Software Group, Inc   5,170 
 38,674  *,e  Unisys Corp   499 
 4,914  *  Upland Software, Inc   169 
 18,823  *  Varonis Systems, Inc   1,402 
 45,384  *  Verint Systems, Inc   2,013 
 71,825  *  VeriSign, Inc   9,870 
 32,131  *,e  VirnetX Holding Corp   109 
 19,953  *  Virtusa Corp   971 
 1,221,373     Visa, Inc (Class A)   161,771 
 46,345  *  VMware, Inc (Class A)   6,811 
 27,749  *  Website Pros, Inc   717 
 309,241     Western Union Co   6,287 
 27,596  *  WEX, Inc   5,256 
 99,063  *  Workday, Inc   11,999 
 16,351  *  Workiva, Inc   399 
 196,315  *  Worldpay, Inc   16,055 
 19,259  *  XO Group, Inc   616 
 56,028  *  Yelp, Inc   2,195 
 55,032  *,e  Yext, Inc   1,064 
 69,807  *  Zendesk, Inc   3,804 
 38,071  *  Zillow Group, Inc   2,275 
 76,096  *,e  Zillow Group, Inc (Class C)   4,494 
 42,422  *  Zix Corp   229 
 9,439  *,e  Zscaler, Inc   337 
 549,506  *  Zynga, Inc   2,236 
       TOTAL SOFTWARE & SERVICES   2,909,428 
320

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
  
TECHNOLOGY HARDWARE & EQUIPMENT - 5.6%
 74,639  *,e  3D Systems Corp  $1,031 
 35,649     Adtran, Inc   529 
 16,323  *  Aerohive Networks, Inc   65 
 11,056  *  Agilysys, Inc   171 
 201,460     Amphenol Corp (Class A)   17,557 
 21,094  *  Anixter International, Inc   1,335 
 3,360,510     Apple, Inc   622,064 
 13,189  *,e  Applied Optoelectronics, Inc   592 
 38,789  *  Arista Networks, Inc   9,988 
 112,990  *  ARRIS International plc   2,762 
 55,742  *  Arrow Electronics, Inc   4,196 
 24,161  *  Avid Technology, Inc   126 
 76,135     Avnet, Inc   3,265 
 34,410     AVX Corp   539 
 19,362     Badger Meter, Inc   865 
 7,316     Bel Fuse, Inc (Class B)   153 
 30,293     Belden CDT, Inc   1,852 
 35,867     Benchmark Electronics, Inc   1,046 
 26,799  *  CalAmp Corp   628 
 28,887  *  Calix, Inc   225 
 9,824  *  Casa Systems, Inc   160 
 101,397     CDW Corp   8,192 
 101,053  *  Ciena Corp   2,679 
 3,294,433     Cisco Systems, Inc   141,760 
 8,964  *,e  Clearfield, Inc   99 
 110,414     Cognex Corp   4,926 
 17,685  *  Coherent, Inc   2,766 
 122,398  *  CommScope Holding Co, Inc   3,575 
 16,237     Comtech Telecommunications Corp   518 
 15,682  *  Control4 Corp   381 
 558,024     Corning, Inc   15,351 
 29,620  *  Cray, Inc   729 
 23,637     CTS Corp   851 
 27,847     Daktronics, Inc   237 
 53,560  e  Diebold, Inc   640 
 18,652  *  Digi International, Inc   246 
 39,659     Dolby Laboratories, Inc (Class A)   2,447 
 13,533  *,e  Eastman Kodak Co   51 
 33,587  *  EchoStar Corp (Class A)   1,491 
 21,493  *  Electro Scientific Industries, Inc   339 
 33,181  *  Electronics for Imaging, Inc   1,080 
 9,278  *  ePlus, Inc   873 
 79,396  *  Extreme Networks, Inc   632 
 42,100  *  F5 Networks, Inc   7,260 
 26,560  *  Fabrinet   980 
 12,851  *  FARO Technologies, Inc   698 
 80,146  *,e  Finisar Corp   1,443 
 124,310  *  Fitbit, Inc   812 
 95,771     Flir Systems, Inc   4,977 
 58,321  *  Harmonic, Inc   248 
 1,054,649     Hewlett Packard Enterprise Co   15,408 
321

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 1,131,165     HP, Inc  $25,666 
 43,712  *  II-VI, Inc   1,899 
 21,661  *  Immersion Corp   334 
 103,799  *  Infinera Corp   1,031 
 25,682  *  Insight Enterprises, Inc   1,257 
 25,007     InterDigital, Inc   2,023 
 25,495  *  IPG Photonics Corp   5,625 
 18,293  *  Iteris, Inc   89 
 24,355  *  Itron, Inc   1,463 
 107,922     Jabil Circuit, Inc   2,985 
 244,176     Juniper Networks, Inc   6,695 
 32,485  *  Kemet Corp   785 
 131,492  *  Keysight Technologies, Inc   7,762 
 21,162  *  Kimball Electronics, Inc   387 
 64,648  *  Knowles Corp   989 
 10,929  *  KVH Industries, Inc   146 
 17,448     Littelfuse, Inc   3,981 
 43,856  *,e  Lumentum Holdings, Inc   2,539 
 24,482  *,e  Maxwell Technologies, Inc   127 
 2,255     Mesa Laboratories, Inc   476 
 25,950     Methode Electronics, Inc   1,046 
 112,066     Motorola, Inc   13,041 
 12,096  e  MTS Systems Corp   637 
 7,937  *  Napco Security Technologies, Inc   116 
 76,957     National Instruments Corp   3,231 
 87,292  *  NCR Corp   2,617 
 184,306     NetApp, Inc   14,474 
 23,887  *  Netgear, Inc   1,493 
 64,175  *  Netscout Systems, Inc   1,906 
 4,719  *  nLight, Inc   156 
 23,522  *  Novanta, Inc   1,465 
 119,078  *  Oclaro, Inc   1,063 
 12,827  *  OSI Systems, Inc   992 
 59,973  *  Palo Alto Networks, Inc   12,323 
 14,228     Park Electrochemical Corp   330 
 8,216     PC Connection, Inc   273 
 24,496     Plantronics, Inc   1,868 
 24,305  *  Plexus Corp   1,447 
 112,099  *  Pure Storage, Inc   2,677 
 15,117  *  Quantenna Communications, Inc   235 
 37,508  *  Ribbon Communications, Inc   267 
 12,852  *  Rogers Corp   1,433 
 52,368  *  Sanmina Corp   1,534 
 17,777  *  Scansource, Inc   716 
 37,383  *,e  Stratasys Ltd   716 
 27,221  *  Super Micro Computer, Inc   644 
 25,356  *  Synaptics, Inc   1,277 
 20,598     SYNNEX Corp   1,988 
 9,938     Systemax, Inc   341 
 25,262  *  Tech Data Corp   2,075 
 162,259  *  Trimble Navigation Ltd   5,329 
 66,124  *  TTM Technologies, Inc   1,166 
 16,794  *,e  Ubiquiti Networks, Inc   1,423 
 28,420  *  USA Technologies, Inc   398 
322

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 80,817  *  VeriFone Systems, Inc  $1,844 
 38,380  *,e  Viasat, Inc   2,522 
 165,919  *  Viavi Solutions, Inc   1,699 
 97,366     Vishay Intertechnology, Inc   2,259 
 9,508  *  Vishay Precision Group, Inc   363 
 204,489     Western Digital Corp   15,830 
 146,472     Xerox Corp   3,515 
 33,846  *  Zebra Technologies Corp (Class A)   4,848 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   1,070,674 
  
TELECOMMUNICATION SERVICES - 1.8%
 4,965,701     AT&T, Inc   159,448 
 7,918     ATN International, Inc   418 
 27,406  *  Boingo Wireless, Inc   619 
 656,157     CenturyLink, Inc   12,231 
 29,963  *  Cincinnati Bell, Inc   470 
 29,776     Cogent Communications Group, Inc   1,590 
 48,355  e  Consolidated Communications Holdings, Inc   598 
 57,416  e  Frontier Communications Corp   308 
 5,442  *  Hawaiian Telcom Holdco, Inc   157 
 23,607  *  Intelsat S.A.   393 
 60,764  *,e  Iridium Communications, Inc   978 
 60,198  *  NII Holdings, Inc   235 
 13,047  *  Ooma, Inc   185 
 44,329  *  Orbcomm, Inc   448 
 7,472  *  pdvWireless, Inc   187 
 33,638     Shenandoah Telecom Co   1,100 
 14,641     Spok Holdings, Inc   220 
 458,152  *,e  Sprint Corp   2,492 
 70,982     Telephone & Data Systems, Inc   1,946 
 209,538  *  T-Mobile US, Inc   12,520 
 9,529  *  US Cellular Corp   353 
 2,830,928     Verizon Communications, Inc   142,424 
 143,849  *  Vonage Holdings Corp   1,854 
 26,925  *,e  Windstream Holdings, Inc   142 
 134,804  *  Zayo Group Holdings, Inc   4,918 
       TOTAL TELECOMMUNICATION SERVICES   346,234 
 
TRANSPORTATION - 2.0%
 37,928  *  Air Transport Services Group, Inc   857 
 77,886     Alaska Air Group, Inc   4,704 
 8,722     Allegiant Travel Co   1,212 
 4,758     Amerco, Inc   1,695 
 286,538     American Airlines Group, Inc   10,877 
 19,331     Arkansas Best Corp   883 
 16,948  *  Atlas Air Worldwide Holdings, Inc   1,215 
 41,208  *  Avis Budget Group, Inc   1,339 
 94,327     CH Robinson Worldwide, Inc   7,891 
 21,812     Copa Holdings S.A. (Class A)   2,064 
 23,634     Costamare, Inc   189 
 8,672  *  Covenant Transportation Group, Inc   273 
 568,738     CSX Corp   36,274 
 14,173  *  Daseke, Inc   141 
323

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 442,346     Delta Air Lines, Inc  $21,914 
 28,818  *  Eagle Bulk Shipping, Inc   157 
 21,041  *  Echo Global Logistics, Inc   615 
 120,086     Expeditors International of Washington, Inc   8,778 
 170,344     FedEx Corp   38,678 
 20,963     Forward Air Corp   1,239 
 6,118  *  Genco Shipping & Trading Ltd   95 
 43,633  *  Genesee & Wyoming, Inc (Class A)   3,548 
 36,387     Hawaiian Holdings, Inc   1,308 
 33,759     Heartland Express, Inc   626 
 40,162  *  Hertz Global Holdings, Inc   616 
 21,791  *  Hub Group, Inc (Class A)   1,085 
 61,748     JB Hunt Transport Services, Inc   7,505 
 213,370  *  JetBlue Airways Corp   4,050 
 70,219     Kansas City Southern Industries, Inc   7,440 
 37,438  *  Kirby Corp   3,130 
 87,818     Knight-Swift Transportation Holdings, Inc   3,356 
 25,122     Landstar System, Inc   2,743 
 55,800     Macquarie Infrastructure Co LLC   2,355 
 23,235     Marten Transport Ltd   545 
 32,238     Matson, Inc   1,237 
 192,812     Norfolk Southern Corp   29,090 
 43,304     Old Dominion Freight Line   6,451 
 6,136     Park-Ohio Holdings Corp   229 
 29,335  *  Radiant Logistics, Inc   115 
 38,669     Ryder System, Inc   2,779 
 33,371  *  Safe Bulkers, Inc   113 
 18,094  *  Saia, Inc   1,463 
 22,723     Schneider National, Inc   625 
 40,927     Scorpio Bulkers, Inc   291 
 37,279     Skywest, Inc   1,935 
 363,270     Southwest Airlines Co   18,483 
 50,261  *,e  Spirit Airlines, Inc   1,827 
 526,366     Union Pacific Corp   74,576 
 169,774  *  United Continental Holdings, Inc   11,838 
 472,059     United Parcel Service, Inc (Class B)   50,147 
 6,297     Universal Truckload Services, Inc   165 
 31,167     Werner Enterprises, Inc   1,170 
 79,581  *  XPO Logistics, Inc   7,972 
 23,809  *  YRC Worldwide, Inc   239 
       TOTAL TRANSPORTATION   390,142 
         
UTILITIES - 2.9%        
 451,060     AES Corp   6,049 
 30,256     Allete, Inc   2,342 
 148,965     Alliant Energy Corp   6,304 
 166,592     Ameren Corp   10,137 
 337,036     American Electric Power Co, Inc   23,340 
 25,230     American States Water Co   1,442 
 122,513     American Water Works Co, Inc   10,460 
 125,741     Aqua America, Inc   4,424 
 8,231  *,e  AquaVenture Holdings Ltd   128 
 4,909     Artesian Resources Corp   190 
 92,825  *,e  Atlantic Power Corp   204 
324

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 75,558     Atmos Energy Corp  $6,811 
 39,059     Avangrid, Inc   2,067 
 44,443     Avista Corp   2,340 
 36,321  e  Black Hills Corp   2,223 
 15,011  *,e  Cadiz, Inc   197 
 35,650     California Water Service Group   1,389 
 294,525     Centerpoint Energy, Inc   8,161 
 11,318     Chesapeake Utilities Corp   905 
 188,591     CMS Energy Corp   8,917 
 8,405     Connecticut Water Service, Inc   549 
 214,411     Consolidated Edison, Inc   16,720 
 10,961     Consolidated Water Co, Inc   141 
 444,995     Dominion Resources, Inc   30,340 
 123,065     DTE Energy Co   12,753 
 479,551     Duke Energy Corp   37,923 
 222,436     Edison International   14,074 
 27,569     El Paso Electric Co   1,629 
 122,003     Entergy Corp   9,857 
 185,114     Evergy, Inc   10,394 
 220,603     Eversource Energy   12,930 
 654,744     Exelon Corp   27,892 
 325,527     FirstEnergy Corp   11,690 
 6,410     Global Water Resources, Inc   60 
 73,815     Hawaiian Electric Industries, Inc   2,532 
 30,421     Idacorp, Inc   2,806 
 119,020     MDU Resources Group, Inc   3,413 
 24,502     MGE Energy, Inc   1,545 
 11,759     Middlesex Water Co   496 
 55,336     National Fuel Gas Co   2,931 
 62,202     New Jersey Resources Corp   2,784 
 319,528     NextEra Energy, Inc   53,371 
 234,601     NiSource, Inc   6,165 
 14,483     Northwest Natural Gas Co   924 
 35,112     NorthWestern Corp   2,010 
 214,416     NRG Energy, Inc   6,583 
 24,011     NRG Yield, Inc (Class A)   409 
 47,061     NRG Yield, Inc (Class C)   809 
 142,240     OGE Energy Corp   5,008 
 36,272     ONE Gas, Inc   2,711 
 26,977     Ormat Technologies, Inc   1,435 
 27,545     Otter Tail Corp   1,311 
 50,689  e  Pattern Energy Group, Inc   950 
 352,287     PG&E Corp   14,993 
 73,930     Pinnacle West Capital Corp   5,956 
 55,254     PNM Resources, Inc   2,149 
 60,652     Portland General Electric Co   2,593 
 481,107     PPL Corp   13,736 
 344,938     Public Service Enterprise Group, Inc   18,675 
 11,616  *  Pure Cycle Corp   111 
 4,887  e  RGC Resources, Inc   143 
 95,839     SCANA Corp   3,692 
 180,457     Sempra Energy   20,953 
 12,005     SJW Corp   795 
325

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES     COMPANY  VALUE
(000)
 
             
 58,642  e  South Jersey Industries, Inc  $1,963 
 691,486     Southern Co   32,023 
 34,400     Southwest Gas Corp   2,624 
 7,544  e  Spark Energy, Inc   74 
 33,979     Spire, Inc   2,401 
 49,399     TerraForm Power, Inc   578 
 123,477     UGI Corp   6,429 
 10,272     Unitil Corp   524 
 59,431     Vectren Corp   4,246 
 279,419  *  Vistra Energy Corp   6,611 
 15,334  *,e  Vivint Solar, Inc   76 
 218,307     WEC Energy Group, Inc   14,114 
 34,766     WGL Holdings, Inc   3,085 
 344,186     Xcel Energy, Inc   15,722 
 9,006     York Water Co   286 
       TOTAL UTILITIES   557,727 
             
       TOTAL COMMON STOCKS   19,126,222 
       (Cost $8,647,318)     

 

RIGHTS / WARRANTS - 0.0%
 
DIVERSIFIED FINANCIALS - 0.0%
 1,387  m  Emergent Capital Inc   0 
       TOTAL DIVERSIFIED FINANCIALS   0 
             
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0%     
 10,743  †,m  Forest Laboratories, Inc CVR   10 
 4,045  †,m  Omthera Pharmaceuticals, Inc CVR   3 
 6,981  m  Tobira Therapeutics, Inc    0^
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   13 
             
       TOTAL RIGHTS / WARRANTS   13 
       (Cost $0)     

 

             MATURITY    
PRINCIPAL     ISSUER  RATE  DATE    
 
SHORT-TERM INVESTMENTS - 1.8%
TREASURY DEBT - 0.3%
$68,040,000     United States Treasury Bill   1.810%  08/16/18   67,885 
       TOTAL TREASURY DEBT           67,885 
                    
SHARES     COMPANY             
 
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 1.5%
 281,402,954  c  State Street Navigator Securities Lending Government Money Market Portfolio           281,403 
       TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES   281,403 
                     
       TOTAL SHORT-TERM INVESTMENTS           349,288 
       (Cost $349,287)             
326

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

      COMPANY  VALUE
(000)
 
                  
       TOTAL INVESTMENTS - 101.4%   $19,475,523 
       (Cost $8,996,605)      
       OTHER ASSETS & LIABILITIES, NET - (1.4)%    (269,235)
       NET ASSETS - 100.0%   $19,206,288 

 

     
          Abbreviation(s):
          CVR   Contingent Value Right
          REIT   Real Estate Investment Trust

 

      ^   Amount represents less than $1,000.
      *   Non-income producing
        Security is categorized as Level 3 in the fair value hierarchy.
      c   Investments made with cash collateral received from securities on loan.
      d   All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
      e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $272,346,000.
      m   Indicates a security that has been deemed illiquid.
           
          Cost amounts are in thousands.

        
       

Futures contracts outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (see Note 3):

 

Description Number of
long (short)
contracts
Expiration date Notional amount Value Unrealized
appreciation (depreciation)
 
Russell 2000 E Mini Index 70 9/21/18 $5,893 $5,766 $(127)
S&P 500 E Mini Index 351 9/21/18  48,659  47,764  (895)
S&P Mid-Cap 400 E Mini Index 9 9/21/18  1,799  1,761  (38)
Total 430   $56,351 $55,291 $(1,060)
327

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

COLLEGE RETIREMENT EQUITIES FUND
BOND MARKET ACCOUNT
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2018

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
BANK LOAN OBLIGATIONS - 0.2%
                        
CAPITAL GOODS - 0.0%
$496,250  i  Avolon TLB Borrower US LLC  LIBOR 1 M + 2.000%   4.090%  01/15/25  $490 
       TOTAL CAPITAL GOODS              490 
                        
CONSUMER DURABLES & APPAREL - 0.0%
 895,500  i  Hanesbrands, Inc  LIBOR 1 M + 1.750%   3.840   12/16/24   894 
       TOTAL CONSUMER DURABLES & APPAREL           894 
                        
CONSUMER SERVICES - 0.0%
 492,710  i  1011778 BC / New Red Finance, Inc  LIBOR 1 M + 2.250%   3.940   02/17/24   490 
 488,392  i  Boyd Gaming Corp  LIBOR 1 W + 2.500%   4.490   09/15/23   489 
       TOTAL CONSUMER SERVICES              979 
                        
DIVERSIFIED FINANCIALS - 0.0%
 173,493  i  Mallinckrodt International Finance S.A.  LIBOR 3 M + 2.750%   5.200   09/24/24   170 
       TOTAL DIVERSIFIED FINANCIALS           170 
                        
ENERGY - 0.0%
 1,720,000  i  California Resources Corp  LIBOR 1 M + 10.375%   12.466   12/31/21   1,900 
       TOTAL ENERGY              1,900 
                        
FOOD & STAPLES RETAILING - 0.0%
 206,910  i  Albertsons LLC  LIBOR 3 M + 3.000%   5.319   06/22/23   205 
 712,376  i  YUM! Brands  LIBOR 1 M + 1.750%   3.840   04/03/25   705 
       TOTAL FOOD & STAPLES RETAILING           910 
                        
FOOD, BEVERAGE & TOBACCO - 0.0%
 990,000  i  Post Holdings, Inc  LIBOR 1 M + 2.000%   4.100   05/24/24   983 
       TOTAL FOOD, BEVERAGE & TOBACCO           983 
                        
HEALTH CARE EQUIPMENT & SERVICES - 0.1%
 493,750  i  Change Healthcare Holdings LLC  LIBOR 1 M + 2.750%   4.840   03/01/24   492 
 2,461,325  i  Team Health Holdings, Inc  LIBOR 1 M + 2.750%   4.840   02/06/24   2,363 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES           2,855 
                        
MATERIALS - 0.1%
 1,481,250  i  Berry Global, Inc  LIBOR 1 M + 2.000%   4.050   01/19/24   1,478 
 497,500  i  Ineos US Finance LLC  LIBOR 1 M + 2.000%   4.090   03/31/24   494 
 1,408,564  i  PolyOne Corp  LIBOR 1 M + 1.750%   3.800   11/11/22   1,408 
       TOTAL MATERIALS              3,380 
                        
MEDIA - 0.0%
 974,531  i  CSC Holdings LLC  LIBOR 1 M + 2.250%   4.320   07/17/25   967 
 897,750  i  Lions Gate Capital Holdings LLC  LIBOR 1 M + 2.250%   4.340   03/24/25   893 
 13,357  i  Mission Broadcasting, Inc  LIBOR 1 M + 2.500%   4.480   01/17/24   13 

328

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$102,851  i  Nexstar Broadcasting, Inc  LIBOR 1 M + 2.500%   4.480%  01/17/24  $103 
 750,000  i  Virgin Media Bristol LLC  LIBOR 1 M + 2.500%   4.570   01/15/26   744 
       TOTAL MEDIA              2,720 
                        
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0%
 123,750  i  Endo Luxembourg Finance I Co Sarl  LIBOR 1 M + 4.250%   6.380   04/29/24   124 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES           124 
                        
RETAILING - 0.0%
 799,185  i  PetSmart, Inc  LIBOR 1 M + 3.000%   5.010   03/11/22   659 
       TOTAL RETAILING              659 
                        
SOFTWARE & SERVICES - 0.0%
 1,362,507  i  First Data Corp  LIBOR 1 M + 2.000%   4.090   07/08/22   1,356 
 98,507  i  Sabre GLBL, Inc  LIBOR 1 M + 2.000%   4.090   02/22/24   98 
       TOTAL SOFTWARE & SERVICES              1,454 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 0.0%
 868,525  i  CommScope, Inc  LIBOR 1 M + 2.000%   4.090   12/29/22   871 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           871 
                        
TRANSPORTATION - 0.0%
 1,039,500  i  American Airlines, Inc  LIBOR 1 M + 2.000%   4.070   12/14/23   1,027 
 246,875  i  Vouvray US Finance, LLC  LIBOR 1 M + 3.000%   5.090   03/11/24   244 
       TOTAL TRANSPORTATION              1,271 
                        
       TOTAL BANK LOAN OBLIGATIONS           19,660 
       (Cost $19,796)                
                        
BONDS - 96.9%
                        
CORPORATE BONDS - 31.5%
                        
AUTOMOBILES & COMPONENTS - 0.4%
EUR 650,000  g  Adient Global Holdings Ltd      3.500   08/15/24   702 
$4,050,000     Aptiv plc      3.150   11/19/20   4,021 
 8,775,000     General Motors Co      4.200   10/01/27   8,408 
 6,950,000     General Motors Co      6.600   04/01/36   7,518 
 3,350,000     General Motors Co      6.250   10/02/43   3,469 
 6,500,000     General Motors Co      5.200   04/01/45   5,962 
 1,925,000     General Motors Co      6.750   04/01/46   2,133 
 2,425,000  g  Hyundai Capital America      2.600   03/19/20   2,386 
 3,850,000  g  Hyundai Capital America      2.550   04/03/20   3,783 
 4,800,000  g  Hyundai Capital America      3.250   09/20/22   4,668 
 4,000,000  g  Hyundai Capital America      4.125   06/08/23   3,978 
EUR400,000  g,o  IHO Verwaltungs GmbH      3.750   09/15/26   475 
$8,675,000     Magna International, Inc      3.625   06/15/24   8,651 
       TOTAL AUTOMOBILES & COMPONENTS           56,154 
                        
BANKS - 6.1%
 3,075,000  g  Akbank TAS      7.200   03/16/27   2,776 
 6,000,000     Australia & New Zealand Banking Group Ltd      2.625   05/19/22   5,798 
 4,000,000  g  Banco de Bogota S.A.      6.250   05/12/26   4,083 

329

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$500,000  g  Banco de Bogota S.A.      4.375%  08/03/27  $466 
 14,225,000  g  Banco del Estado de Chile      2.668   01/08/21   13,834 
 3,500,000  g  Banco do Brasil S.A.      4.625   01/15/25   3,224 
 550,000  g  Banco General S.A.      4.125   08/07/27   515 
 3,800,000  g  Banco Internacional del Peru SAA Interbank      3.375   01/18/23   3,599 
 1,425,000  g  Banco Santander Mexico S.A.      4.125   11/09/22   1,402 
 6,400,000     Banco Santander S.A.      3.125   02/23/23   6,071 
 3,800,000     Banco Santander S.A.      3.800   02/23/28   3,470 
 5,000,000  g  Bank Nederlandse Gemeenten      2.625   04/28/21   4,963 
 2,350,000  g  Bank Nederlandse Gemeenten NV      2.500   02/28/20   2,340 
 15,900,000     Bank of America Corp      2.151   11/09/20   15,540 
EUR 400,000     Bank of America Corp      1.375   03/26/25   472 
$10,200,000     Bank of America Corp      3.875   08/01/25   10,146 
 200,000     Bank of America Corp      4.250   10/22/26   198 
EUR 300,000     Bank of America Corp      1.776   05/04/27   358 
$28,050,000     Bank of America Corp      3.248   10/21/27   26,131 
 7,300,000     Bank of America Corp      3.419   12/20/28   6,871 
 5,350,000     Bank of Montreal      3.803   12/15/32   4,956 
 25,000,000     Bank of Nova Scotia      2.125   09/11/19   24,805 
 5,450,000  g  Bank of Tokyo-Mitsubishi UFJ Ltd      2.350   09/08/19   5,407 
 5,900,000     Barclays plc      4.338   05/16/24   5,825 
 6,700,000     Barclays plc      3.650   03/16/25   6,274 
 500,000     Barclays plc      5.200   05/12/26   491 
 5,100,000  g  BNP Paribas S.A.      3.375   01/09/25   4,817 
 1,625,000  g  BNP Paribas S.A.      4.375   03/01/33   1,524 
 3,225,000  g  BPCE S.A.      3.000   05/22/22   3,116 
 5,224,000  g  BPCE S.A.      4.625   07/11/24   5,156 
 1,733,000  g  BPCE S.A.      4.500   03/15/25   1,689 
 3,200,000     Branch Banking & Trust Co      2.300   10/15/18   3,198 
 26,000,000  g  Canadian Imperial Bank of Commerce      3.150   06/27/21   26,007 
 9,750,000     Capital One Bank USA NA      2.650   08/08/22   9,353 
 4,500,000     Capital One Bank USA NA      3.375   02/15/23   4,382 
 20,320,000     Capital One NA      2.350   01/31/20   20,028 
 50,075,000     Citigroup, Inc      3.200   10/21/26   46,593 
 6,575,000     Citigroup, Inc      4.300   11/20/26   6,414 
 10,850,000     Citigroup, Inc      3.668   07/24/28   10,315 
 175,000     Citigroup, Inc      4.650   07/30/45   174 
 7,400,000     Citizens Bank NA      2.650   05/26/22   7,154 
 6,500,000     Compass Bank      2.875   06/29/22   6,273 
 6,875,000     Cooperatieve Centrale Raiffeisen-Boerenleenbank BA      3.950   11/09/22   6,806 
 13,700,000     Cooperatieve Rabobank UA      2.500   01/19/21   13,452 
 19,900,000     Cooperatieve Rabobank UA      3.750   07/21/26   18,623 
EUR 600,000     Credit Agricole Assurances S.A.      4.250   12/30/49   722 
$4,825,000  g  Credit Agricole S.A.      2.500   04/15/19   4,815 
 5,500,000  g  Credit Agricole S.A.      2.375   07/01/21   5,320 
 8,125,000  g  Credit Agricole S.A.      3.750   04/24/23   7,958 
 11,050,000  g  Credit Agricole S.A.      3.250   10/04/24   10,401 
 2,700,000  g  DBS Group Holdings Ltd      4.520   12/11/28   2,720 
EUR 500,000     Deutsche Bank AG.      1.250   09/08/21   579 
$9,200,000     Deutsche Bank AG.      3.950   02/27/23   8,831 
 4,875,000     Discover Bank      3.200   08/09/21   4,819 
 1,400,000     Discover Bank      3.450   07/27/26   1,299 

330

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

               MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$300,000  g  Export Credit Bank of Turkey      5.375%  10/24/23  $272 
EUR 500,000     FCE Bank plc      1.134   02/10/22   590 
$7,350,000  g  HSBC Bank plc      4.125   08/12/20   7,483 
 5,150,000     HSBC Holdings plc      2.650   01/05/22   4,985 
 6,575,000     HSBC Holdings plc      3.262   03/13/23   6,439 
GBP 500,000     HSBC Holdings plc      2.175   06/27/23   656 
$4,250,000     HSBC Holdings plc      3.033   11/22/23   4,101 
 8,000,000     HSBC Holdings plc      3.950   05/18/24   7,978 
 250,000     HSBC Holdings plc      4.250   08/18/25   245 
 11,825,000     HSBC Holdings plc      3.900   05/25/26   11,559 
 3,825,000     HSBC Holdings plc      4.375   11/23/26   3,765 
 6,450,000     HSBC Holdings plc      4.041   03/13/28   6,259 
 13,025,000     Huntington National Bank      2.500   08/07/22   12,549 
 2,125,000  g  Intercorp Financial Services, Inc      4.125   10/19/27   1,952 
EUR 600,000     Intesa Sanpaolo S.p.A      3.500   01/17/22   751 
$3,100,000  g  Intesa Sanpaolo S.p.A      3.875   01/12/28   2,656 
 12,925,000     JPMorgan Chase & Co      2.750   06/23/20   12,810 
 16,725,000     JPMorgan Chase & Co      2.295   08/15/21   16,157 
 10,850,000     JPMorgan Chase & Co      2.776   04/25/23   10,524 
 4,850,000     JPMorgan Chase & Co      2.700   05/18/23   4,654 
 20,400,000     JPMorgan Chase & Co      3.200   06/15/26   19,283 
 21,275,000     JPMorgan Chase & Co      2.950   10/01/26   19,755 
 5,750,000     JPMorgan Chase & Co      3.882   07/24/38   5,317 
 200,000     JPMorgan Chase & Co      4.950   06/01/45   203 
 2,700,000     KeyBank NA      2.500   12/15/19   2,679 
 200,000     Lloyds Banking Group plc      3.574   11/07/28   184 
 4,475,000  g  Macquarie Bank Ltd      2.600   06/24/19   4,461 
 9,950,000     Manufacturers & Traders Trust Co      2.100   02/06/20   9,793 
 17,000,000     PNC Bank NA      2.600   07/21/20   16,794 
 5,625,000     PNC Bank NA      2.450   11/05/20   5,528 
 10,950,000     PNC Bank NA      2.700   11/01/22   10,523 
 6,000,000     PNC Financial Services Group, Inc      3.900   04/29/24   6,008 
 40,000,000     Royal Bank of Canada      1.875   02/05/20   39,369 
 9,350,000     Santander Holdings USA, Inc      3.400   01/18/23   9,025 
 4,825,000     Santander Holdings USA, Inc      4.400   07/13/27   4,625 
 3,325,000     Santander UK Group Holdings plc      3.571   01/10/23   3,234 
 13,100,000  g  Skandinaviska Enskilda Banken AB      2.625   11/17/20   12,889 
 3,800,000     Sumitomo Mitsui Banking Corp      2.500   07/19/18   3,800 
 6,650,000     Sumitomo Mitsui Banking Corp      2.450   01/16/20   6,574 
 4,025,000     Sumitomo Mitsui Banking Corp      3.650   07/23/25   3,997 
 13,875,000     Sumitomo Mitsui Financial Group, Inc      2.442   10/19/21   13,397 
 3,675,000     Sumitomo Mitsui Financial Group, Inc      2.778   10/18/22   3,546 
 6,850,000     SunTrust Banks, Inc      2.900   03/03/21   6,766 
 5,700,000     SunTrust Banks, Inc      2.750   05/01/23   5,504 
 7,275,000     SunTrust Banks, Inc      4.000   05/01/25   7,308 
 3,500,000  g  TC Ziraat Bankasi AS.      5.125   09/29/23   3,109 
 5,000,000     Toronto-Dominion Bank      1.450   09/06/18   4,991 
 13,700,000     Toronto-Dominion Bank      1.850   09/11/20   13,342 
 2,350,000     Toronto-Dominion Bank      3.625   09/15/31   2,210 
 2,100,000  g  Turkiye Is Bankasi      5.500   04/21/22   1,931 
 4,275,000  g  Turkiye Is Bankasi      6.125   04/25/24   3,885 
 5,000,000  g  UBS AG.      2.450   12/01/20   4,885 
 2,650,000  g  UBS AG.      4.500   06/26/48   2,700 
 5,700,000     UnionBanCal Corp      3.500   06/18/22   5,683 

331

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$2,325,000  g,i  United Overseas Bank Ltd  LIBOR 3 M + 0.480%   2.842%  04/23/21  $2,329 
 10,000,000  g  Westpac Banking Corp      1.850   11/26/18   9,976 
 10,000,000     Westpac Banking Corp      2.750   01/11/23   9,534 
 8,475,000     Westpac Banking Corp      4.322   11/23/31   8,163 
 5,000,000  g  Yapi ve Kredi Bankasi AS.      6.100   03/16/23   4,675 
       TOTAL BANKS              816,913 
                        
CAPITAL GOODS - 0.6%
GBP1,000,000     BAE Systems plc      4.125   06/08/22   1,436 
$250,000     Eaton Corp      4.150   11/02/42   241 
 9,575,000     General Electric Co      4.125   10/09/42   8,886 
GBP650,000     Glencore Finance Europe S.A.      6.500   02/27/19   886 
EUR1,000,000     Illinois Tool Works, Inc      1.250   05/22/23   1,212 
 600,000     Johnson Controls International plc      1.000   09/15/23   703 
$500,000     KLA-Tencor Corp      4.125   11/01/21   509 
 8,350,000     Lockheed Martin Corp      2.500   11/23/20   8,237 
 5,200,000     Lockheed Martin Corp      3.550   01/15/26   5,116 
 6,375,000  g  Molex Electronic Technologies LLC      2.878   04/15/20   6,310 
 9,825,000  g  Molex Electronic Technologies LLC      3.900   04/15/25   9,705 
 3,000,000     Mosaic Co      4.050   11/15/27   2,866 
EUR500,000     Parker-Hannifin Corp      1.125   03/01/25   587 
$2,550,000     Parker-Hannifin Corp      4.100   03/01/47   2,508 
 8,725,000     Rockwell Collins, Inc      3.500   03/15/27   8,314 
 500,000     Rockwell Collins, Inc      4.350   04/15/47   478 
 350,000  g  Stena AB      7.000   02/01/24   322 
 2,075,000     Textron, Inc      3.875   03/01/25   2,050 
 10,050,000     Timken Co      3.875   09/01/24   9,940 
 650,000     Trimble, Inc      4.900   06/15/28   649 
EUR500,000     United Technologies Corp      1.150   05/18/24   588 
$8,225,000     United Technologies Corp      3.750   11/01/46   7,195 
       TOTAL CAPITAL GOODS              78,738 
                        
COMMERCIAL & PROFESSIONAL SERVICES - 0.4%
 4,875,000     AECOM      5.875   10/15/24   5,027 
 4,400,000     RELX Capital, Inc      3.500   03/16/23   4,352 
 11,102,000     Republic Services, Inc      3.550   06/01/22   11,170 
 8,171,000     Republic Services, Inc      2.900   07/01/26   7,585 
 9,650,000     Waste Management, Inc      2.900   09/15/22   9,439 
 9,700,000     Waste Management, Inc      3.150   11/15/27   9,105 
 2,000,000     Waste Management, Inc      3.900   03/01/35   1,944 
 2,225,000     Waste Management, Inc      4.100   03/01/45   2,190 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES           50,812 
                        
CONSUMER DURABLES & APPAREL - 0.1%
 8,075,000     Newell Rubbermaid, Inc      4.200   04/01/26   7,798 
EUR500,000     Whirlpool Finance Luxembourg Sarl      1.100   11/09/27   557 
       TOTAL CONSUMER DURABLES & APPAREL           8,355 
                        
CONSUMER SERVICES - 1.1%
$1,425,000     ADT Corp      6.250   10/15/21   1,475 
 1,390,000     ADT Corp      3.500   07/15/22   1,301 
 9,820,000     Amherst College      4.100   11/01/45   10,176 

332

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
EUR680,000  g  Aramark International Finance Sarl      3.125%  04/01/25  $808 
$3,400,000  g  Arcos Dorados Holdings, Inc      5.875   04/04/27   3,279 
 600,000  g  Boyd Gaming Corp      6.000   08/15/26   592 
 2,000,000     Duke University      3.199   10/01/38   1,864 
 16,000,000     George Washington University      3.545   09/15/46   14,495 
 1,610,000  g  International Game Technology      6.250   02/15/22   1,650 
 1,610,000  g  International Game Technology      6.500   02/15/25   1,662 
EUR500,000  g  International Game Technology plc      4.750   02/15/23   622 
$5,000,000     Johns Hopkins University      4.083   07/01/53   5,108 
 750,000     MGM Resorts International      4.625   09/01/26   694 
 9,605,000     Northwestern University      3.812   12/01/50   9,594 
 8,000,000     President and Fellows of Harvard College      3.529   10/01/31   8,038 
 14,250,000     President and Fellows of Harvard College      3.619   10/01/37   14,212 
 8,108,000  g  Prime Security Services Borrower LLC      9.250   05/15/23   8,655 
 10,000,000     Princeton University      3.840   07/01/48   10,330 
 1,000,000  g  Scientific Games International, Inc      5.000   10/15/25   953 
EUR500,000  g  Scientific Games International, Inc      3.375   02/15/26   554 
$3,600,000  g  ServiceMaster Co LLC      5.125   11/15/24   3,492 
 15,000,000     Smith College      4.620   07/01/45   16,831 
 6,600,000     Trustees of Dartmouth College      3.474   06/01/46   6,330 
 21,000,000     University of Chicago      4.151   10/01/45   21,112 
       TOTAL CONSUMER SERVICES              143,827 
                        
DIVERSIFIED FINANCIALS - 3.2%
 6,150,000     AerCap Ireland Capital DAC      4.125   07/03/23   6,115 
 500,000     AerCap Ireland Capital Ltd      5.000   10/01/21   515 
 10,625,000     American Express Co      2.500   08/01/22   10,186 
 300,000     American Express Credit Corp      2.375   05/26/20   296 
 2,425,000     American Express Credit Corp      2.700   03/03/22   2,372 
 2,775,000     American Express Credit Corp      3.300   05/03/27   2,673 
 3,050,000  g  Banco BTG Pactual S.A.      5.500   01/31/23   2,836 
 4,125,000     Bank of New York Mellon Corp      5.450   05/15/19   4,221 
 7,225,000     Bank of New York Mellon Corp      3.500   04/28/23   7,226 
 300,000  g  BBVA Bancomer S.A.      5.350   11/12/29   278 
 4,575,000  g  BBVA Bancomer S.A.      5.125   01/18/33   4,055 
 10,525,000     Berkshire Hathaway, Inc      3.125   03/15/26   10,137 
 250,000     Capital One Financial Corp      3.050   03/09/22   245 
 250,000     Credit Suisse      3.625   09/09/24   246 
 9,800,000  g  Credit Suisse Group AG.      2.997   12/14/23   9,372 
 3,900,000  g  Credit Suisse Group AG.      4.282   01/09/28   3,792 
EUR750,000     Credit Suisse Group Funding Guernsey Ltd      1.250   04/14/22   890 
$7,700,000     Credit Suisse Group Funding Guernsey Ltd      3.800   06/09/23   7,600 
 10,250,000     Credit Suisse Group Funding Guernsey Ltd      3.750   03/26/25   9,855 
 13,800,000  g  Daimler Finance North America LLC      2.200   10/30/21   13,196 
 100,000     Discover Financial Services      3.950   11/06/24   98 
 2,450,000  g  EDP Finance BV      3.625   07/15/24   2,346 
 4,975,000     Ford Motor Credit Co LLC      2.425   06/12/20   4,878 
 7,125,000     Ford Motor Credit Co LLC      3.200   01/15/21   7,045 
 12,925,000     Ford Motor Credit Co LLC      3.815   11/02/27   11,958 
 8,628,000     GE Capital International Funding Co      4.418   11/15/35   8,353 
 1,432,000     General Electric Capital Corp      5.875   01/14/38   1,625 
 108,000     General Electric Capital Corp      6.875   01/10/39   137 
 6,500,000     General Motors Financial Co, Inc      3.950   04/13/24   6,358 
 300,000     General Motors Financial Co, Inc      4.300   07/13/25   294 

333

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
EUR300,000     General Motors Financial International BV      1.875%  10/15/19  $359 
 850,000     Goldman Sachs Group, Inc      2.000   07/27/23   1,044 
$13,575,000     Goldman Sachs Group, Inc      3.500   01/23/25   13,105 
 12,416,000     Goldman Sachs Group, Inc      3.272   09/29/25   11,795 
 16,150,000     Goldman Sachs Group, Inc      3.691   06/05/28   15,304 
 6,075,000     Goldman Sachs Group, Inc      4.017   10/31/38   5,531 
 7,675,000     Goldman Sachs Group, Inc      4.800   07/08/44   7,609 
 100,000     Goldman Sachs Group, Inc      5.150   05/22/45   99 
 3,800,000  g  GrupoSura Finance S.A.      5.500   04/29/26   3,880 
 1,266,436     Helios Leasing I LLC      2.018   05/29/24   1,228 
 1,725,000     Icahn Enterprises LP      5.875   02/01/22   1,725 
 5,750,000  g  ICICI Bank Ltd      3.800   12/14/27   5,267 
 3,200,000     International Lease Finance Corp      5.875   04/01/19   3,266 
 5,000,000     International Lease Finance Corp      5.875   08/15/22   5,301 
 3,050,000     Jefferies Group LLC      4.150   01/23/30   2,690 
 250,000     Jefferies Group, Inc      6.450   06/08/27   270 
 1,625,000     Legg Mason, Inc      2.700   07/15/19   1,620 
 2,400,000     Legg Mason, Inc      3.950   07/15/24   2,377 
EUR350,000  g  Lincoln Finance Ltd      6.875   04/15/21   422 
$2,050,000  g  LUKOIL International Finance BV      4.563   04/24/23   2,065 
 8,925,000     Morgan Stanley      2.750   05/19/22   8,644 
 2,750,000     Morgan Stanley      3.737   04/24/24   2,733 
 24,800,000     Morgan Stanley      3.700   10/23/24   24,473 
 23,475,000     Morgan Stanley      3.125   07/27/26   21,829 
 250,000     Morgan Stanley      4.350   09/08/26   247 
EUR900,000     Morgan Stanley      1.342   10/23/26   1,033 
$8,225,000     Morgan Stanley      3.625   01/20/27   7,913 
 3,800,000     National Rural Utilities Cooperative Finance Corp      10.375   11/01/18   3,897 
 4,500,000  g  Nederlandse Waterschapsbank NV      2.125   11/15/21   4,383 
 5,000,000  g  Nederlandse Waterschapsbank NV      1.875   04/14/22   4,799 
 6,500,000     Raymond James Financial, Inc      4.950   07/15/46   6,605 
 100,000     Shire Acquisitions Investments Ireland DAC      2.400   09/23/21   96 
 18,900,000     Shire Acquisitions Investments Ireland DAC      3.200   09/23/26   17,314 
 200,000     Synchrony Financial      4.250   08/15/24   196 
 6,625,000     TD Ameritrade Holding Corp      3.300   04/01/27   6,319 
 6,800,000  g  UBS Group Funding Jersey Ltd      2.950   09/24/20   6,728 
 11,600,000  g  UBS Group Funding Jersey Ltd      2.650   02/01/22   11,173 
 9,775,000     Unilever Capital Corp      2.900   05/05/27   9,252 
 45,550,000     Wells Fargo & Co      2.625   07/22/22   43,877 
 16,950,000     Wells Fargo & Co      3.584   05/22/28   16,234 
       TOTAL DIVERSIFIED FINANCIALS           421,900 
                        
ENERGY - 3.4%
 3,725,000  g  Abu Dhabi Crude Oil Pipeline LLC      3.650   11/02/29   3,443 
 1,825,000  g  Abu Dhabi Crude Oil Pipeline LLC      4.600   11/02/47   1,664 
 2,375,000     AmeriGas Partners LP      5.625   05/20/24   2,336 
 2,050,000     AmeriGas Partners LP      5.875   08/20/26   1,999 
 4,200,000     Anadarko Petroleum Corp      5.550   03/15/26   4,500 
 5,925,000     Anadarko Petroleum Corp      4.500   07/15/44   5,513 
 100,000     Andeavor      5.125   12/15/26   105 
 3,025,000     Andeavor Logistics LP      4.250   12/01/27   2,910 
 3,100,000     Andeavor Logistics LP      5.200   12/01/47   2,988 
 100,000     Apache Corp      3.250   04/15/22   97 

334

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$1,575,000  g  APT Pipelines Ltd      4.250%  07/15/27  $1,543 
 13,300,000     BP Capital Markets plc      2.315   02/13/20   13,172 
 3,800,000     BP Capital Markets plc      2.520   09/19/22   3,665 
 7,500,000     BP Capital Markets plc      3.588   04/14/27   7,390 
 6,575,000     BP Capital Markets plc      3.279   09/19/27   6,319 
 699,000  g  California Resources Corp      8.000   12/15/22   634 
 478,000     California Resources Corp      6.000   11/15/24   390 
 4,200,000     Canadian Natural Resources Ltd      4.950   06/01/47   4,331 
 6,500,000     Cenovus Energy, Inc      5.400   06/15/47   6,359 
 3,025,000     Cimarex Energy Co      3.900   05/15/27   2,904 
 6,200,000  g  Colonial Pipeline Co      4.250   04/15/48   6,007 
 6,150,000     Concho Resources, Inc      3.750   10/01/27   5,907 
 7,275,000     Continental Resources, Inc      3.800   06/01/24   7,094 
 690,000     Continental Resources, Inc      4.375   01/15/28   684 
 2,375,000     Crestwood Midstream Partners LP      5.750   04/01/25   2,372 
 6,000,000     Ecopetrol S.A.      5.375   06/26/26   6,156 
 650,000  g  Empresa Nacional del Petroleo      3.750   08/05/26   612 
 7,750,000     Enbridge, Inc      3.700   07/15/27   7,341 
 8,900,000     Energy Transfer Partners LP      4.750   01/15/26   8,816 
 7,850,000     Energy Transfer Partners LP      4.950   06/15/28   7,823 
 5,125,000     Enterprise Products Operating LLC      3.700   02/15/26   5,006 
 4,775,000     Enterprise Products Operating LLC      4.450   02/15/43   4,490 
 1,925,000     Enterprise Products Operating LLC      4.850   03/15/44   1,915 
 4,025,000     Enterprise Products Operating LLC      4.250   02/15/48   3,742 
 100,000     Enterprise Products Operating LLC      5.250   08/16/77   93 
 3,100,000     EQT Midstream Partners LP      4.125   12/01/26   2,856 
 2,250,000     Exterran Partners LP      6.000   10/01/22   2,227 
 4,750,000     Exxon Mobil Corp      2.222   03/01/21   4,662 
 300,000  g  Gazprom OAO Via Gaz Capital S.A.      4.950   03/23/27   289 
 200,000  g  Gazprom OAO Via Gaz Capital S.A.      4.950   02/06/28   192 
 3,000,000     HollyFrontier Corp      5.875   04/01/26   3,233 
 2,739,000     Husky Energy, Inc      3.950   04/15/22   2,759 
 5,275,000  g  KazMunayGas National Co JSC      5.375   04/24/30   5,284 
 2,825,000     Kinder Morgan, Inc      9.000   02/01/19   2,920 
EUR500,000     Kinder Morgan, Inc      2.250   03/16/27   602 
$9,200,000     Kinder Morgan, Inc      4.300   03/01/28   8,913 
 2,215,000     Kinder Morgan, Inc      5.300   12/01/34   2,181 
 4,850,000     Kinder Morgan, Inc      5.400   09/01/44   4,704 
 5,030,000     Marathon Oil Corp      2.700   06/01/20   4,954 
 3,000,000     Marathon Oil Corp      5.200   06/01/45   3,156 
 4,240,000     MPLX LP      5.500   02/15/23   4,320 
 11,387,000     MPLX LP      4.125   03/01/27   10,858 
 5,850,000     MPLX LP      4.000   03/15/28   5,564 
 6,150,000     MPLX LP      4.500   04/15/38   5,677 
 6,150,000     MPLX LP      4.700   04/15/48   5,707 
 900,000     Noble Energy, Inc      3.900   11/15/24   887 
 9,500,000     Noble Energy, Inc      3.850   01/15/28   9,075 
 6,075,000     Noble Energy, Inc      5.050   11/15/44   6,067 
 1,500,000     Noble Energy, Inc      4.950   08/15/47   1,500 
 10,850,000     ONE Gas, Inc      2.070   02/01/19   10,812 
 3,500,000     ONE Gas, Inc      3.610   02/01/24   3,478 
 2,500,000     ONEOK, Inc      4.000   07/13/27   2,418 
 6,150,000  h  ONEOK, Inc      4.550   07/15/28   6,202 
 5,125,000  g  Pertamina Persero PT      4.300   05/20/23   5,063 

335

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$3,050,000  g  Peru LNG Srl      5.375%  03/22/30  $3,019 
 2,335,000  g  Petrobras Global Finance BV      5.999   01/27/28   2,113 
 400,000     Petrobras Global Finance BV      5.750   02/01/29   352 
 750,000     Petrobras Global Finance BV      7.250   03/17/44   694 
 4,000,000  g  Petroleos del Peru S.A.      4.750   06/19/32   3,828 
 6,750,000     Petroleos Mexicanos      6.375   02/04/21   7,104 
 1,500,000     Petroleos Mexicanos      4.875   01/24/22   1,513 
 825,000     Petroleos Mexicanos      5.375   03/13/22   846 
EUR375,000     Petroleos Mexicanos      1.875   04/21/22   428 
$9,000,000     Petroleos Mexicanos      1.950   12/20/22   8,789 
 4,815,000     Petroleos Mexicanos      2.000   12/20/22   4,708 
 9,000,000     Petroleos Mexicanos      3.500   01/30/23   8,520 
 3,900,000     Petroleos Mexicanos      4.500   01/23/26   3,659 
 1,775,000     Petroleos Mexicanos      6.500   03/13/27   1,816 
 3,300,000  g  Petroleos Mexicanos      5.350   02/12/28   3,115 
 4,500,000     Petroleos Mexicanos      6.500   06/02/41   4,232 
 4,180,000     Petroleos Mexicanos      5.500   06/27/44   3,526 
 1,800,000     Petroleos Mexicanos      6.750   09/21/47   1,711 
 2,600,000  g  Petroleos Mexicanos      6.350   02/12/48   2,353 
 6,575,000     Phillips 66 Partners LP      3.550   10/01/26   6,146 
 3,275,000     Phillips 66 Partners LP      4.680   02/15/45   3,068 
 1,600,000     Phillips 66 Partners LP      4.900   10/01/46   1,532 
 614,000     Pioneer Natural Resources Co      7.500   01/15/20   653 
 8,675,000     Pioneer Natural Resources Co      3.450   01/15/21   8,693 
 6,850,000     Pioneer Natural Resources Co      4.450   01/15/26   7,042 
 100,000     Plains All American Pipeline LP      4.500   12/15/26   98 
 3,335,000     Range Resources Corp      5.000   08/15/22   3,302 
 1,200,000     Regency Energy Partners LP      4.500   11/01/23   1,207 
 4,750,000  g  Reliance Industries Ltd      3.667   11/30/27   4,361 
 9,875,000     Sabine Pass Liquefaction LLC      4.200   03/15/28   9,493 
 6,000,000     Shell International Finance BV      2.375   08/21/22   5,804 
 4,875,000     Shell International Finance BV      3.250   05/11/25   4,775 
 6,825,000     Shell International Finance BV      4.000   05/10/46   6,604 
 3,950,000     Spectra Energy Partners LP      3.500   03/15/25   3,766 
 5,300,000     Statoil ASA      2.450   01/17/23   5,111 
 250,000     Suncor Energy, Inc      3.600   12/01/24   247 
 4,200,000     Suncor Energy, Inc      4.000   11/15/47   3,919 
 6,500,000     Sunoco Logistics Partners Operations LP      4.000   10/01/27   6,072 
 1,000,000  g  Sunoco LP      4.875   01/15/23   960 
 600,000     Targa Resources Partners LP      5.125   02/01/25   592 
 1,000,000  g  Targa Resources Partners LP      5.875   04/15/26   1,007 
EUR600,000     Total Capital International S.A.      2.500   03/25/26   785 
$2,500,000     Vale Overseas Ltd      6.250   08/10/26   2,708 
 2,760,000     Vale Overseas Ltd      6.875   11/21/36   3,099 
 6,150,000     Valero Energy Partners LP      4.500   03/15/28   6,044 
 3,850,000     Western Gas Partners LP      3.950   06/01/25   3,630 
 4,550,000     Western Gas Partners LP      4.650   07/01/26   4,468 
 5,075,000     Williams Partners LP      3.600   03/15/22   5,049 
 1,500,000     Williams Partners LP      3.750   06/15/27   1,416 
 1,175,000     Williams Partners LP      4.900   01/15/45   1,122 
 350,000     WPX Energy, Inc      8.250   08/01/23   396 
 2,400,000     WPX Energy, Inc      5.250   09/15/24   2,361 
 3,500,000  g  YPF S.A.      8.500   07/28/25   3,333 

336

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$2,225,000  g  YPF S.A.      6.950%  07/21/27  $1,908 
 4,725,000  g  YPF S.A.      7.000   12/15/47   3,567 
       TOTAL ENERGY              453,544 
                        
FOOD & STAPLES RETAILING - 0.6%
 9,200,000     CVS Health Corp      3.700   03/09/23   9,106 
 15,950,000     CVS Health Corp      2.875   06/01/26   14,514 
 18,875,000     CVS Health Corp      4.300   03/25/28   18,611 
 20,300,000     CVS Health Corp      4.780   03/25/38   20,066 
 150,000     CVS Health Corp      5.125   07/20/45   152 
 4,900,000     Ingles Markets, Inc      5.750   06/15/23   4,826 
 5,575,000     Kroger Co      3.700   08/01/27   5,299 
EUR1,000,000     SYSCO Corp      1.250   06/23/23   1,205 
$7,575,000     Walgreens Boots Alliance, Inc      3.450   06/01/26   7,065 
       TOTAL FOOD & STAPLES RETAILING           80,844 
                        
FOOD, BEVERAGE & TOBACCO - 1.0%
 13,700,000     Anheuser-Busch InBev Finance, Inc      2.650   02/01/21   13,508 
 20,025,000     Anheuser-Busch InBev Finance, Inc      3.300   02/01/23   19,851 
 16,510,000     Anheuser-Busch InBev Finance, Inc      3.650   02/01/26   16,168 
 10,725,000     Anheuser-Busch InBev Worldwide, Inc      4.000   04/13/28   10,696 
 6,825,000     Anheuser-Busch InBev Worldwide, Inc      4.600   04/15/48   6,692 
 8,125,000  g  BAT Capital Corp      3.557   08/15/27   7,557 
 4,300,000     Constellation Brands, Inc      3.600   02/15/28   4,063 
 3,000,000  g  Corp Lindley S.A.      4.625   04/12/23   3,015 
 3,500,000  g  Cosan Ltd      5.950   09/20/24   3,265 
 5,800,000     Diageo Capital plc      3.500   09/18/23   5,818 
 4,925,000     Diageo Capital plc      3.875   05/18/28   4,964 
 4,000,000  g  Grupo Bimbo SAB de C.V.      4.700   11/10/47   3,634 
 2,400,000  g  Grupo Bimbo SAB de C.V.      5.950   12/30/49   2,370 
EUR465,000     Heineken NV      2.875   08/04/25   611 
$8,425,000  g  Heineken NV      3.500   01/29/28   8,105 
 3,600,000  g  Heineken NV      4.350   03/29/47   3,554 
 150,000     JM Smucker Co      4.375   03/15/45   139 
 200,000     Kraft Heinz Foods Co      5.200   07/15/45   194 
 4,115,000     Mead Johnson Nutrition Co      4.900   11/01/19   4,216 
 9,200,000     Mondelez International, Inc      4.125   05/07/28   9,118 
 3,125,000     PepsiCo, Inc      3.450   10/06/46   2,794 
 1,600,000     Philip Morris International, Inc      6.375   05/16/38   1,934 
 450,000  g  Sigma Finance Netherlands BV      4.875   03/27/28   430 
 4,600,000     Tyson Foods, Inc      3.550   06/02/27   4,350 
       TOTAL FOOD, BEVERAGE & TOBACCO           137,046 
                        
HEALTH CARE EQUIPMENT & SERVICES - 0.8%
 11,100,000     Anthem, Inc      3.650   12/01/27   10,511 
EUR430,000     Becton Dickinson and Co      1.401   05/24/23   506 
 470,000     Becton Dickinson and Co      1.900   12/15/26   546 
$17,775,000     Becton Dickinson and Co      3.700   06/06/27   16,806 
 400,000     Becton Dickinson and Co      4.685   12/15/44   387 
 7,250,000     Cardinal Health, Inc      3.410   06/15/27   6,660 
 3,800,000     Covidien International Finance S.A.      3.200   06/15/22   3,771 
 4,105,000     Dartmouth-Hitchcock Health      4.178   08/01/48   4,104 
EUR500,000     DH Europe Finance S.A.      1.200   06/30/27   580 

337

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$9,100,000     Express Scripts Holding Co      3.400%  03/01/27  $8,312 
 6,055,000     Johns Hopkins Health System Corp      3.837   05/15/46   5,813 
 200,000     Laboratory Corp of America Holdings      3.600   02/01/25   195 
 13,385,000     Lutheran Medical Center      1.982   02/20/30   12,262 
 3,700,000     Medtronic, Inc      4.625   03/15/45   3,919 
 12,500,000     Mercy Health      3.382   11/01/25   12,129 
 5,000,000     New York and Presbyterian Hospital      3.563   08/01/36   4,739 
 2,000,000     Tenet Healthcare Corp      4.375   10/01/21   1,967 
EUR150,000     Thermo Fisher Scientific, Inc      1.400   01/23/26   175 
$5,350,000     Thermo Fisher Scientific, Inc      2.950   09/19/26   4,941 
 2,225,000     Thermo Fisher Scientific, Inc      3.200   08/15/27   2,079 
EUR300,000     Thermo Fisher Scientific, Inc      1.950   07/24/29   349 
 325,000     Thermo Fisher Scientific, Inc      2.875   07/24/37   389 
$2,150,000     Zimmer Biomet Holdings, Inc      3.700   03/19/23   2,134 
 3,745,000     Zimmer Holdings, Inc      3.550   04/01/25   3,564 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES           106,838 
                        
INSURANCE - 1.2%
 6,250,000     ACE INA Holdings, Inc      2.875   11/03/22   6,139 
 1,925,000     Aetna, Inc      6.625   06/15/36   2,374 
 5,500,000     Allstate Corp      3.280   12/15/26   5,282 
 8,500,000     Allstate Corp      5.750   08/15/53   8,734 
 2,700,000     American Financial Group, Inc      3.500   08/15/26   2,533 
EUR650,000     American International Group, Inc      1.500   06/08/23   778 
$2,500,000     American International Group, Inc      3.750   07/10/25   2,413 
 6,750,000     American International Group, Inc      3.900   04/01/26   6,526 
 2,875,000     American International Group, Inc      4.200   04/01/28   2,808 
 200,000     American International Group, Inc      3.875   01/15/35   178 
 12,975,000     Aon plc      3.500   06/14/24   12,616 
 500,000  g  AXA Equitable Holdings, Inc      5.000   04/20/48   460 
 19,230,000     Children’s Hospital Medic      4.268   05/15/44   19,883 
EUR500,000     Chubb INA Holdings, Inc      1.550   03/15/28   578 
$3,525,000     CNA Financial Corp      3.950   05/15/24   3,523 
 3,050,000     CNA Financial Corp      3.450   08/15/27   2,825 
 7,500,000  g,i  Cranberry RE Ltd  LIBOR 6 M + 1.600%   4.093   07/13/20   7,565 
EUR250,000  g  Fairfax Financial Holdings Ltd      2.750   03/29/28   290 
$5,575,000  g  Five Corners Funding Trust      4.419   11/15/23   5,734 
 1,350,000     Hartford Financial Services Group, Inc      4.300   04/15/43   1,274 
 6,250,000     Humana, Inc      3.950   03/15/27   6,144 
 3,300,000  g  Liberty Mutual Group, Inc      4.250   06/15/23   3,338 
EUR750,000     Liberty Mutual Group, Inc      2.750   05/04/26   934 
$2,425,000     Lincoln National Corp      3.800   03/01/28   2,316 
 3,250,000     Markel Corp      3.500   11/01/27   3,016 
 1,600,000     Marsh & McLennan Cos, Inc      3.500   06/03/24   1,583 
 1,365,000     Marsh & McLennan Cos, Inc      3.500   03/10/25   1,334 
 4,325,000     MetLife, Inc      3.600   11/13/25   4,263 
 8,050,000     Prudential Financial, Inc      7.375   06/15/19   8,384 
 9,200,000     Prudential Financial, Inc      3.878   03/27/28   9,090 
 3,000,000  g  Prudential Funding LLC      6.750   09/15/23   3,379 
 10,925,000     Travelers Cos, Inc      4.000   05/30/47   10,499 
 5,775,000     UnitedHealth Group, Inc      2.950   10/15/27   5,387 
 4,625,000     UnitedHealth Group, Inc      3.750   10/15/47   4,247 
 7,750,000  g,i  Vitality Re IX Ltd      3.512   01/10/22   7,778 

338

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$50,000     WellPoint, Inc      4.625%  05/15/42  $48 
 500,000     Willis Group Holdings plc      5.750   03/15/21   527 
 2,400,000     WR Berkley Corp      5.375   09/15/20   2,500 
       TOTAL INSURANCE              167,280 
                        
MATERIALS - 1.0%
 6,630,000     Air Products & Chemicals, Inc      4.375   08/21/19   6,743 
 3,349,000     Albemarle Corp      5.450   12/01/44   3,562 
EUR850,000  g  Axalta Coating Systems Dutch Holding B BV      3.750   01/15/25   1,019 
 250,000     Ball Corp      4.375   12/15/23   326 
$2,534,000     Barrick Gold Corp      3.850   04/01/22   2,570 
 5,075,000     Celulosa Arauco y Constitucion S.A.      3.875   11/02/27   4,707 
 2,275,000     Celulosa Arauco y Constitucion S.A.      5.500   11/02/47   2,214 
 2,275,000  g  Corp Nacional del Cobre de Chile-CODELCO      3.875   11/03/21   2,289 
 2,375,000  g  Corp Nacional del Cobre de Chile-CODELCO      3.000   07/17/22   2,314 
 3,900,000  g  Corp Nacional del Cobre de Chile-CODELCO      4.500   09/16/25   3,982 
 3,900,000  g  Corp Nacional del Cobre de Chile-CODELCO      3.625   08/01/27   3,715 
 3,250,000  g  CRH America Finance, Inc      3.400   05/09/27   3,058 
 3,725,000  g  CRH America Finance, Inc      3.950   04/04/28   3,591 
 6,200,000  g  CRH America Finance, Inc      4.500   04/04/48   5,811 
 1,390,000     Crown Americas LLC      4.500   01/15/23   1,362 
 3,250,000     Dow Chemical Co      4.375   11/15/42   3,083 
 1,000,000     Eastman Chemical Co      5.500   11/15/19   1,033 
 1,100,000  g  Eldorado Gold Corp      6.125   12/15/20   1,061 
 2,800,000  g  Equate Petrochemical BV      3.000   03/03/22   2,678 
 6,500,000  g  Glencore Funding LLC      4.000   03/27/27   6,133 
 11,725,000     International Paper Co      3.000   02/15/27   10,610 
 6,925,000     International Paper Co      4.350   08/15/48   6,207 
 4,300,000  g  Inversiones CMPC S.A.      4.375   04/04/27   4,137 
 2,400,000  g  Israel Chemicals Ltd      6.375   05/31/38   2,362 
 3,850,000  g  Klabin Finance S.A.      4.875   09/19/27   3,467 
 3,250,000     LYB International Finance II BV      3.500   03/02/27   3,047 
 2,400,000     Newmont Mining Corp      3.500   03/15/22   2,386 
 3,200,000     Newmont Mining Corp      4.875   03/15/42   3,207 
 4,900,000  g  Nexa Resources S.A.      5.375   05/04/27   4,753 
 3,500,000  g  Nova Chemicals Corp      4.875   06/01/24   3,325 
 6,150,000     Nucor Corp      3.950   05/01/28   6,156 
 2,950,000     Nutrien Ltd      3.375   03/15/25   2,776 
 2,925,000     Nutrien Ltd      4.125   03/15/35   2,710 
 500,000     Nutrien Ltd      5.250   01/15/45   517 
EUR125,000  g  OCI NV      5.000   04/15/23   149 
$3,000,000  g  OCP S.A.      4.500   10/22/25   2,852 
EUR250,000  g  OI European Group BV      3.125   11/15/24   294 
$5,000,000     Rock Tenn Co      3.500   03/01/20   5,010 
 2,300,000  g  Severstal OAO Via Steel Capital S.A.      3.850   08/27/21   2,252 
 4,600,000     Sherwin-Williams Co      3.450   06/01/27   4,342 
EUR750,000     Silgan Holdings, Inc      3.250   03/15/25   886 
$1,800,000     Steel Dynamics, Inc      5.250   04/15/23   1,816 
 4,400,000  g  WestRock Co      3.750   03/15/25   4,316 
       TOTAL MATERIALS              138,828 
                        
MEDIA - 1.2%
 100,000     21st Century Fox America, Inc      3.375   11/15/26   96 
 2,105,000     21st Century Fox America, Inc      7.625   11/30/28   2,612 

339

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$1,578,000     21st Century Fox America, Inc      6.550%  03/15/33  $1,883 
 7,375,000     21st Century Fox America, Inc      6.900   08/15/39   9,384 
GBP425,000     AMC Entertainment Holdings, Inc      6.375   11/15/24   569 
$1,750,000  g  CBS Corp      2.900   06/01/23   1,664 
 4,200,000     CBS Corp      2.900   01/15/27   3,743 
 2,500,000     CBS Corp      3.375   02/15/28   2,225 
 5,225,000     Charter Communications Operating LLC      3.579   07/23/20   5,224 
 5,395,000     Charter Communications Operating LLC      4.464   07/23/22   5,455 
 19,275,000     Charter Communications Operating LLC      4.908   07/23/25   19,460 
 3,400,000     Charter Communications Operating LLC      5.375   05/01/47   3,085 
 3,500,000     Cinemark USA, Inc      4.875   06/01/23   3,430 
 10,650,000     Comcast Corp      2.350   01/15/27   9,328 
 18,200,000     Comcast Corp      3.200   07/15/36   15,131 
 3,000,000     Comcast Corp      3.900   03/01/38   2,731 
 4,000,000     Discovery Communications LLC      2.950   03/20/23   3,824 
GBP300,000     Discovery Communications LLC      2.500   09/20/24   386 
$5,625,000     Discovery Communications LLC      3.950   03/20/28   5,325 
 2,000,000     Lamar Media Corp      5.375   01/15/24   2,032 
 7,700,000  g  NBC Universal Enterprise, Inc      1.974   04/15/19   7,643 
 10,350,000     NBC Universal Media LLC      2.875   01/15/23   9,922 
 1,930,000  g  Tegna, Inc      4.875   09/15/21   1,932 
 2,925,000  g  Tegna, Inc      5.500   09/15/24   2,925 
 5,675,000     Time Warner Cable, Inc      5.875   11/15/40   5,548 
 4,075,000     Time Warner Cable, Inc      4.500   09/15/42   3,346 
 20,550,000     Time Warner, Inc      2.100   06/01/19   20,407 
 4,045,000     Time Warner, Inc      2.950   07/15/26   3,635 
 7,500,000     Time Warner, Inc      3.800   02/15/27   7,091 
 150,000     Time Warner, Inc      4.850   07/15/45   137 
 5,000,000     Viacom, Inc      3.450   10/04/26   4,577 
 1,150,000     Viacom, Inc      5.850   09/01/43   1,155 
 675,000  g  Virgin Media Secured Finance plc      5.500   01/15/25   661 
       TOTAL MEDIA              166,566 
                        
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 1.3%
 4,750,000     Abbott Laboratories      3.875   09/15/25   4,733 
 19,450,000     Abbott Laboratories      3.750   11/30/26   19,111 
 2,250,000     Abbott Laboratories      5.300   05/27/40   2,461 
 14,350,000     AbbVie, Inc      3.200   05/14/26   13,382 
 150,000     AbbVie, Inc      4.500   05/14/35   147 
 6,700,000     AbbVie, Inc      4.400   11/06/42   6,359 
 8,700,000     Actavis Funding SCS      3.800   03/15/25   8,446 
 9,500,000     Actavis Funding SCS      4.550   03/15/35   9,008 
 134,000     Actavis Funding SCS      4.750   03/15/45   129 
 10,990,000     Amgen, Inc      2.600   08/19/26   9,916 
 5,650,000     AstraZeneca plc      3.125   06/12/27   5,290 
 2,900,000     Celgene Corp      3.875   08/15/25   2,817 
 13,600,000     Celgene Corp      3.450   11/15/27   12,500 
 6,025,000     Celgene Corp      3.900   02/20/28   5,712 
 8,675,000     Gilead Sciences, Inc      2.950   03/01/27   8,101 
 1,775,000     Gilead Sciences, Inc      4.000   09/01/36   1,707 
 5,075,000     Gilead Sciences, Inc      4.150   03/01/47   4,846 
 5,750,000     GlaxoSmithKline Capital, Inc      3.875   05/15/28   5,794 
 8,150,000     Johnson & Johnson      2.900   01/15/28   7,776 

340

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

               MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$3,750,000     Johnson & Johnson      3.400%  01/15/38  $3,539 
 3,300,000     Mylan NV      3.950   06/15/26   3,155 
 5,750,000  g  Mylan, Inc      4.550   04/15/28   5,617 
 9,600,000     Novartis Capital Corp      3.000   11/20/25   9,260 
 500,000     Perrigo Finance plc      3.900   12/15/24   485 
 2,675,000     Teva Pharmaceutical Finance Netherlands III BV      6.000   04/15/24   2,671 
 17,825,000     Teva Pharmaceutical Finance Netherlands III BV      3.150   10/01/26   14,321 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   167,283 
                        
REAL ESTATE - 1.2%
 1,675,000     Alexandria Real Estate Equities, Inc      3.950   01/15/27   1,616 
 2,300,000     Alexandria Real Estate Equities, Inc      3.950   01/15/28   2,209 
 5,950,000     American Tower Corp      3.000   06/15/23   5,703 
EUR600,000     American Tower Corp      1.950   05/22/26   708 
$2,418,000     American Tower Corp      3.375   10/15/26   2,237 
 1,600,000     American Tower Corp      3.600   01/15/28   1,482 
 5,575,000     Brandywine Operating Partnership LP      4.100   10/01/24   5,502 
 2,700,000     Brandywine Operating Partnership LP      3.950   11/15/27   2,564 
 5,825,000     Brixmor Operating Partnership LP      3.850   02/01/25   5,617 
 5,250,000     Brixmor Operating Partnership LP      4.125   06/15/26   5,080 
 4,050,000     Brixmor Operating Partnership LP      3.900   03/15/27   3,827 
 3,965,000     Camden Property Trust      4.625   06/15/21   4,089 
 3,000,000     Camden Property Trust      2.950   12/15/22   2,920 
 3,911,000     Crown Castle International Corp      4.875   04/15/22   4,031 
 2,275,000     Crown Castle International Corp      3.700   06/15/26   2,144 
 1,700,000     Crown Castle International Corp      3.650   09/01/27   1,581 
 5,175,000     DCT Industrial Operating Partnership LP      4.500   10/15/23   5,360 
 2,968,000     DDR Corp      3.625   02/01/25   2,816 
 350,000     DDR Corp      4.700   06/01/27   352 
 3,075,000     Digital Realty Trust LP      3.700   08/15/27   2,921 
 1,600,000     Duke Realty LP      3.250   06/30/26   1,500 
 2,750,000     Equity One, Inc      3.750   11/15/22   2,738 
 2,754,000     Essex Portfolio LP      3.375   01/15/23   2,699 
 78,000     HCP, Inc      5.375   02/01/21   81 
 1,625,000     Healthcare Realty Trust, Inc      3.750   04/15/23   1,595 
 6,600,000     Healthcare Realty Trust, Inc      3.875   05/01/25   6,437 
 3,700,000     Healthcare Trust of America Holdings LP      3.375   07/15/21   3,687 
 3,550,000     Healthcare Trust of America Holdings LP      3.700   04/15/23   3,489 
 6,250,000     Healthcare Trust of America Holdings LP      3.500   08/01/26   5,872 
 1,950,000     Highwoods Realty LP      3.875   03/01/27   1,877 
 2,900,000     Highwoods Realty LP      4.125   03/15/28   2,847 
 1,700,000     Kimco Realty Corp      3.800   04/01/27   1,616 
 5,224,000     Mid-America Apartments LP      4.300   10/15/23   5,311 
 5,525,000     Mid-America Apartments LP      3.750   06/15/24   5,447 
 4,300,000     Mid-America Apartments LP      4.000   11/15/25   4,260 
 3,575,000     Mid-America Apartments LP      3.600   06/01/27   3,425 
 3,600,000     National Retail Properties, Inc      3.800   10/15/22   3,604 
 5,425,000     National Retail Properties, Inc      3.300   04/15/23   5,289 
 2,575,000     National Retail Properties, Inc      4.000   11/15/25   2,526 
 3,000,000     National Retail Properties, Inc      3.600   12/15/26   2,839 
 7,225,000     Regency Centers LP      3.900   11/01/25   7,068 
 4,750,000     Regency Centers LP      3.600   02/01/27   4,512 
 405,000     Ventas Realty LP      3.125   06/15/23   392 
 6,150,000     Ventas Realty LP      4.000   03/01/28   5,943 

341

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$1,170,000     Weingarten Realty Investors      3.375%  10/15/22  $1,154 
 4,800,000     Weingarten Realty Investors      3.500   04/15/23   4,731 
 3,025,000     Weingarten Realty Investors      4.450   01/15/24   3,081 
 3,950,000     Weingarten Realty Investors      3.850   06/01/25   3,836 
 1,300,000     Weingarten Realty Investors      3.250   08/15/26   1,197 
 3,575,000     Welltower, Inc      4.000   06/01/25   3,505 
       TOTAL REAL ESTATE              165,317 
                        
RETAILING - 0.6%
 600,000     Asbury Automotive Group, Inc      6.000   12/15/24   595 
 2,950,000     AutoNation, Inc      3.800   11/15/27   2,738 
 100,000     Best Buy Co, Inc      5.500   03/15/21   105 
 8,850,000     Home Depot, Inc      2.000   04/01/21   8,632 
 8,725,000     Home Depot, Inc      3.350   09/15/25   8,585 
 5,175,000     Home Depot, Inc      3.000   04/01/26   4,943 
 2,975,000     Home Depot, Inc      3.500   09/15/56   2,553 
 6,875,000     O’Reilly Automotive, Inc      3.600   09/01/27   6,493 
 5,050,000  g  Rolls-Royce plc      2.375   10/14/20   4,952 
 1,850,000  g  Rolls-Royce plc      3.625   10/14/25   1,823 
GBP1,050,000     Rolls-Royce plc      3.375   06/18/26   1,496 
$5,800,000     Target Corp      2.500   04/15/26   5,327 
 5,625,000     Target Corp      3.625   04/15/46   5,007 
 18,400,000     Walmart, Inc      3.700   06/26/28   18,521 
 6,150,000     Walmart, Inc      3.950   06/28/38   6,145 
       TOTAL RETAILING              77,915 
                        
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.3%
 15,640,000     Intel Corp      2.875   05/11/24   15,141 
 4,800,000     Intel Corp      2.600   05/19/26   4,474 
 2,500,000     Intel Corp      3.734   12/08/47   2,353 
 3,475,000     Maxim Integrated Products, Inc      3.450   06/15/27   3,284 
 5,800,000  g  Microchip Technology, Inc      3.922   06/01/21   5,809 
 3,475,000     Texas Instruments, Inc      2.625   05/15/24   3,326 
 3,100,000     Texas Instruments, Inc      4.150   05/15/48   3,147 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT     37,534 
                        
SOFTWARE & SERVICES - 0.8%
 4,175,000     Activision Blizzard Inc      2.300   09/15/21   4,039 
 4,350,000     Activision Blizzard Inc      3.400   09/15/26   4,129 
 5,200,000     Baidu, Inc      2.875   07/06/22   5,008 
 11,348,000     Fidelity National Information Services, Inc      3.625   10/15/20   11,421 
GBP150,000     Fidelity National Information Services, Inc      1.700   06/30/22   196 
EUR375,000     Fidelity National Information Services, Inc      1.100   07/15/24   434 
$30,200,000     Microsoft Corp      2.400   08/08/26   27,926 
 3,750,000     Microsoft Corp      4.100   02/06/37   3,905 
 5,850,000     Microsoft Corp      3.700   08/08/46   5,679 
 1,475,000     NCR Corp      4.625   02/15/21   1,464 
 525,000     NCR Corp      5.875   12/15/21   533 
 12,600,000     Oracle Corp      2.500   05/15/22   12,266 
 14,375,000     Oracle Corp      2.650   07/15/26   13,252 
 4,900,000     Oracle Corp      3.800   11/15/37   4,632 
 6,300,000     Oracle Corp      4.000   11/15/47   5,944 

342

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$2,425,000     salesforce.com, Inc      3.700%  04/11/28  $2,407 
 5,425,000     Total System Services, Inc      4.450   06/01/28   5,393 
       TOTAL SOFTWARE & SERVICES              108,628 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 0.9%
 3,475,000     Amphenol Corp      3.125   09/15/21   3,455 
 8,075,000     Apple, Inc      2.450   08/04/26   7,409 
 31,025,000     Apple, Inc      3.200   05/11/27   29,927 
EUR750,000     Apple, Inc      1.375   05/24/29   886 
$4,525,000     Apple, Inc      4.650   02/23/46   4,871 
 4,075,000     Broadcom Corp      3.875   01/15/27   3,853 
 4,150,000     Broadcom Corp      3.500   01/15/28   3,778 
 19,750,000     Cisco Systems, Inc      1.850   09/20/21   18,853 
 2,600,000  g  CommScope, Inc      5.500   06/15/24   2,613 
 2,075,000     Corning, Inc      4.375   11/15/57   1,807 
 13,175,000  g  Dell International LLC      4.420   06/15/21   13,362 
 10,550,000  g  Dell International LLC      6.020   06/15/26   11,091 
 3,150,000     L3 Technologies, Inc      3.850   06/15/23   3,142 
 2,900,000     Motorola Solutions, Inc      4.600   02/23/28   2,883 
 5,050,000     Tyco Electronics Group S.A.      2.375   12/17/18   5,042 
 6,669,000     Tyco Electronics Group S.A.      3.500   02/03/22   6,699 
EUR400,000     Tyco Electronics Group S.A.      1.100   03/01/23   482 
$2,175,000     Tyco Electronics Group S.A.      3.700   02/15/26   2,134 
 250,000     Xerox Corp      3.625   03/15/23   239 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           122,526 
                        
TELECOMMUNICATION SERVICES - 1.3%
EUR500,000  g  Altice Luxembourg S.A.      7.250   05/15/22   587 
$40,275,000     AT&T, Inc      3.400   05/15/25   37,877 
EUR500,000  g  AT&T, Inc      2.350   09/05/29   589 
$21,900,000  g  AT&T, Inc      4.300   02/15/30   20,707 
 9,000,000     AT&T, Inc      4.500   05/15/35   8,320 
 200,000     AT&T, Inc      4.300   12/15/42   170 
 150,000     AT&T, Inc      4.800   06/15/44   136 
 6,525,000  g  AT&T, Inc      5.150   11/15/46   6,143 
 4,525,000     AT&T, Inc      4.500   03/09/48   3,884 
 500,000  g  AT&T, Inc      5.300   08/15/58   465 
 4,400,000  g  Bharti Airtel International Netherlands BV      5.125   03/11/23   4,346 
 4,000,000     Deutsche Telekom International Finance BV      8.750   06/15/30   5,299 
 3,950,000     France Telecom S.A.      5.375   01/13/42   4,310 
 6,000,000  g  MTN Mauritius Investment Ltd      6.500   10/13/26   6,006 
 3,500,000  †,g,q  Oi S.A.      5.750   02/10/22   1,592 
 3,925,000  g  Oztel Holdings SPC Ltd      5.625   10/24/23   3,848 
 1,875,000  g  SK Telecom Co Ltd      3.750   04/16/23   1,856 
 2,125,000     Telefonica Emisiones SAU      4.103   03/08/27   2,054 
 2,325,000     T-Mobile USA, Inc      6.375   03/01/25   2,412 
 3,150,000  g  Turkcell Iletisim Hizmetleri AS.      5.800   04/11/28   2,847 
 4,350,000     Verizon Communications, Inc      3.376   02/15/25   4,178 
EUR400,000     Verizon Communications, Inc      1.375   10/27/26   462 
$9,392,000  g  Verizon Communications, Inc      4.329   09/21/28   9,308 
EUR400,000     Verizon Communications, Inc      1.875   10/26/29   460 
$30,520,000     Verizon Communications, Inc      4.272   01/15/36   28,137 
EUR300,000     Verizon Communications, Inc      2.875   01/15/38   344 
$10,550,000     Verizon Communications, Inc      3.850   11/01/42   8,803 

343

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$3,350,000     Verizon Communications, Inc      4.125%  08/15/46  $2,859 
 400,000     Verizon Communications, Inc      5.012   08/21/54   376 
EUR500,000  g  Virgin Media Finance plc      4.500   01/15/25   589 
$8,700,000     Vodafone Group plc      4.375   05/30/28   8,587 
       TOTAL TELECOMMUNICATION SERVICES           177,551 
                        
TRANSPORTATION - 0.7%
 4,850,000  g  Adani Ports & Special Economic Zone Ltd      4.000   07/30/27   4,421 
 72,000     Burlington Northern Santa Fe LLC      4.150   04/01/45   70 
 6,200,000     Canadian Pacific Railway Co      2.900   02/01/25   5,901 
 200,000     Canadian Pacific Railway Co      4.800   08/01/45   214 
 5,000,000     CSX Corp      3.250   06/01/27   4,697 
 150,000     CSX Corp      4.100   03/15/44   140 
 4,000,000     CSX Corp      3.800   11/01/46   3,541 
 3,000,000     CSX Corp      4.300   03/01/48   2,856 
 9,250,000     Delta Air Lines, Inc      3.625   03/15/22   9,143 
 6,100,000     Delta Air Lines, Inc      3.800   04/19/23   6,026 
 100,000     FedEx Corp      3.875   08/01/42   89 
 2,830,000     FedEx Corp      4.100   02/01/45   2,548 
 7,425,000     FedEx Corp      4.050   02/15/48   6,657 
 10,000,000     Kansas City Southern      2.350   05/15/20   9,816 
 7,025,000     Norfolk Southern Corp      4.050   08/15/52   6,401 
 8,925,000     Northrop Grumman Corp      3.250   01/15/28   8,397 
 3,500,000     Northrop Grumman Corp      4.030   10/15/47   3,279 
 4,475,000  g  Pelabuhan Indonesia III Persero PT      4.500   05/02/23   4,441 
 9,200,000     Union Pacific Corp      4.500   09/10/48   9,283 
       TOTAL TRANSPORTATION              87,920 
                        
UTILITIES - 3.3%
 1,650,000     AEP Transmission Co LLC      3.100   12/01/26   1,578 
 1,650,000     AEP Transmission Co LLC      4.000   12/01/46   1,610 
 1,600,000     AES Corp      4.500   03/15/23   1,586 
 1,775,000     AES Corp      4.875   05/15/23   1,771 
 8,475,000     AGL Capital Corp      3.875   11/15/25   8,337 
 2,125,000     AGL Capital Corp      4.400   06/01/43   2,080 
 3,475,000     Alabama Power Co      4.150   08/15/44   3,427 
 400,000     American Electric Power Co, Inc      3.200   11/13/27   374 
 2,750,000     American Water Capital Corp      3.000   12/01/26   2,586 
 2,375,000     American Water Capital Corp      4.000   12/01/46   2,310 
 7,175,000     American Water Capital Corp      3.750   09/01/47   6,619 
 5,500,000     Atmos Energy Corp      8.500   03/15/19   5,708 
 1,175,000     Atmos Energy Corp      4.125   10/15/44   1,185 
 6,500,000     Baltimore Gas & Electric Co      3.750   08/15/47   6,084 
 6,800,000  g  Bayer US Finance II LLC      4.375   12/15/28   6,810 
 4,650,000  g  Bayer US Finance II LLC      4.875   06/25/48   4,694 
 5,925,000     Berkshire Hathaway Energy Co      3.250   04/15/28   5,633 
 6,225,000     Black Hills Corp      4.250   11/30/23   6,322 
 1,575,000     Black Hills Corp      3.150   01/15/27   1,455 
 4,750,000     Carolina Power & Light Co      5.300   01/15/19   4,836 
 3,670,000     CenterPoint Energy Resources Corp      4.500   01/15/21   3,750 
 3,550,000     CenterPoint Energy Resources Corp      6.250   02/01/37   4,190 
 2,850,000  g  Cerro del Aguila S.A.      4.125   08/16/27   2,586 
 43,402,539     CES MU2 LLC      1.994   05/13/27   41,335 

344

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$3,840,000  g  CEZ AS.      4.250%  04/03/22  $3,908 
 4,675,000     CMS Energy Corp      3.600   11/15/25   4,577 
 200,000     CMS Energy Corp      3.450   08/15/27   191 
 200,000     Commonwealth Edison Co      2.950   08/15/27   189 
 4,200,000     Commonwealth Edison Co      5.900   03/15/36   5,098 
 2,750,000     Connecticut Light & Power Co      5.500   02/01/19   2,793 
 4,575,000     Consolidated Edison, Inc      2.000   05/15/21   4,414 
 3,775,000     Dominion Resources, Inc      2.000   08/15/21   3,599 
 5,750,000     DTE Electric Co      3.750   08/15/47   5,433 
 200,000     DTE Energy Co      3.800   03/15/27   195 
 1,400,000     Duke Energy Carolinas LLC      4.300   06/15/20   1,424 
 5,825,000     Duke Energy Corp      1.800   09/01/21   5,573 
 8,675,000     Duke Energy Corp      2.650   09/01/26   7,811 
 750,000     Duke Energy Corp      4.800   12/15/45   784 
 8,794,789     Duke Energy Florida Project Finance LLC      1.196   03/01/20   8,664 
 5,000,000     Duke Energy Florida Project Finance LLC      1.731   09/01/22   4,800 
 1,450,000     Duke Energy Ohio, Inc      3.800   09/01/23   1,475 
 7,040,000     DY8 Leasing LLC      2.627   04/29/26   6,921 
 10,445,753     DY9 Leasing LLC      2.372   03/19/27   10,137 
 200,000     Emera US Finance LP      3.550   06/15/26   188 
 7,300,000     Enel Chile S.A.      4.875   06/12/28   7,351 
EUR 600,000     Engie S.A.      2.375   05/19/26   771 
$5,700,000     Entergy Corp      2.950   09/01/26   5,204 
 5,850,000  g  Eskom Holdings SOC Ltd      5.750   01/26/21   5,644 
 9,450,000     Exelon Generation Co LLC      3.400   03/15/22   9,385 
 300,000     FirstEnergy Corp      3.900   07/15/27   291 
 8,150,000     Fortis, Inc      3.055   10/04/26   7,423 
 350,000     Georgia Power Co      3.250   03/30/27   331 
 1,681,429     Golondrina Leasing LLC      1.822   05/03/25   1,612 
 1,575,000  g  Hunt Oil Co of Peru LLC Sucursal Del Peru      6.375   06/01/28   1,605 
EUR 500,000     Iberdrola International BV      1.125   04/21/26   577 
$5,000,000     Indiana Michigan Power Co      7.000   03/15/19   5,147 
 3,600,000     Indiana Michigan Power Co      3.750   07/01/47   3,364 
 2,725,000     Integrys Energy Group, Inc      4.170   11/01/20   2,772 
 1,300,000  g  Israel Electric Corp Ltd      5.000   11/12/24   1,334 
 6,125,000  g  Israel Electric Corp Ltd      4.250   08/14/28   5,908 
 1,000,000  g  Kansas Gas & Electric      6.700   06/15/19   1,035 
 4,525,000  g  KazTransGas JSC      4.375   09/26/27   4,189 
 5,000,000     LG&E and KU Energy LLC      3.750   11/15/20   5,037 
 6,150,000     MidAmerican Energy Co      3.650   08/01/48   5,711 
 3,000,000  g  Minejesa Capital BV      4.625   08/10/30   2,725 
 800,000  g  Minejesa Capital BV      5.625   08/10/37   720 
 2,800,000     Nevada Power Co      6.500   08/01/18   2,808 
 3,335,000     Nevada Power Co      5.450   05/15/41   3,817 
 13,125,000     NextEra Energy Capital Holdings, Inc      3.550   05/01/27   12,611 
 9,750,000     NiSource Finance Corp      3.490   05/15/27   9,332 
 200,000     NiSource Finance Corp      4.800   02/15/44   207 
 2,000,000     NRG Energy, Inc      6.250   05/01/24   2,050 
 6,150,000     Ohio Power Co      4.150   04/01/48   6,180 
 7,100,000     Oncor Electric Delivery Co LLC      2.150   06/01/19   7,043 
 1,280,000     Oncor Electric Delivery Co LLC      5.250   09/30/40   1,482 
 2,700,000     Pacific Gas & Electric Co      3.750   08/15/42   2,226 
 5,850,000     Pacific Gas & Electric Co      4.250   03/15/46   5,198 
 4,500,000  g  Perusahaan Gas Negara Persero Tbk PT      5.125   05/16/24   4,558 

345

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$4,600,000  g  Perusahaan Listrik Negara PT      4.125%  05/15/27  $4,245 
 2,975,000  g  Perusahaan Listrik Negara PT      5.450   05/21/28   3,021 
 750,000     Potomac Electric Power Co      7.900   12/15/38   1,091 
 6,925,000     PPL Capital Funding, Inc      4.200   06/15/22   7,030 
 200,000     PPL Capital Funding, Inc      3.100   05/15/26   186 
 2,000,000     PPL Electric Utilities Corp      3.000   09/15/21   1,991 
 3,825,000     Progress Energy, Inc      7.050   03/15/19   3,935 
 9,725,000     PSEG Power LLC      3.850   06/01/23   9,677 
 8,800,000     Public Service Co of Oklahoma      5.150   12/01/19   9,033 
 2,650,000  g  Rio Oil Finance Trust      8.200   04/06/28   2,684 
 3,499,596     Santa Rosa Leasing LLC      1.693   08/15/24   3,362 
 5,550,000     Sempra Energy      2.875   10/01/22   5,376 
 200,000     South Carolina Electric & Gas Co      4.350   02/01/42   190 
 1,900,000     Southern California Edison Co      4.125   03/01/48   1,796 
 2,000,000     Southern Co Gas Capital Corp      3.950   10/01/46   1,838 
 8,250,000     Southern Power Co      2.500   12/15/21   8,016 
 7,825,000     Southern Power Co      4.150   12/01/25   7,835 
 7,375,000     Southwest Gas Corp      3.700   04/01/28   7,350 
 3,680,000     Virginia Electric & Power Co      2.950   01/15/22   3,639 
 300,000     Virginia Electric & Power Co      2.950   11/15/26   281 
 6,500,000     Virginia Electric & Power Co      3.500   03/15/27   6,377 
 4,125,000     Wisconsin Power & Light Co      4.100   10/15/44   4,050 
 3,175,000     Xcel Energy, Inc      3.350   12/01/26   3,047 
 2,890,000     Xcel Energy, Inc      4.800   09/15/41   3,082 
       TOTAL UTILITIES              439,820 
                        
       TOTAL CORPORATE BONDS           4,212,139 
       (Cost $4,329,070)             
                        
GOVERNMENT BONDS - 46.7%
                        
AGENCY SECURITIES - 1.8%
 7,771,086     AMAL Ltd      3.465   08/21/21   7,842 
 2,500,000     Amber Circle Funding Ltd      3.250   12/04/22   2,447 
 4,255,384     Export Lease Ten Co LLC      1.650   05/07/25   4,054 
 250,000     Federal Home Loan Bank (FHLB)      1.125   07/14/21   239 
 300,000     Federal National Mortgage Association (FNMA)      2.625   09/06/24   295 
 12,744,025     Helios Leasing II LLC      2.668   03/18/25   12,577 
 13,091,250     HNA LLC      2.291   06/30/27   12,620 
 8,335,000     Montefiore Medical Center      2.152   10/20/26   7,841 
 3,623,046     MSN 41079 and 41084 Ltd      1.631   12/14/24   3,459 
 8,096,743     Premier Aircraft Leasing      3.576   02/06/22   8,191 
 5,000,000     Private Export Funding Corp (PEFCO)      4.375   03/15/19   5,071 
 7,240,000     PEFCO      1.450   08/15/19   7,156 
 27,750,000     PEFCO      2.250   03/15/20   27,557 
 35,000,000     PEFCO      4.300   12/15/21   36,591 
 25,747,000     PEFCO      2.050   11/15/22   24,886 
 32,948,474     Tagua Leasing LLC      1.900   07/12/24   31,851 
 1,789,322     Union 12 Leasing LLC      2.164   02/17/24   1,745 
 12,545,000     UNM Sandoval Regional Medical Center      4.500   07/20/36   12,871 
 2,524,000     US Department of Housing and Urban Development (HUD)      5.380   08/01/18   2,532 
 7,774,888     Windermere Aviation LLC      2.351   05/27/26   7,553 

346

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$17,653,698     Zarapito Leasing LLC      2.628%  11/12/26  $17,322 
       TOTAL AGENCY SECURITIES              234,700 
                        
FOREIGN GOVERNMENT BONDS - 5.4%
 4,000,000  g  Abu Dhabi Government International Bond      3.125   05/03/26   3,800 
 15,000,000     African Development Bank      1.375   12/17/18   14,937 
 750,000  g  Angolan Government International Bond      8.250   05/09/28   750 
 5,575,000     Argentina Republic Government International Bond      5.875   01/11/28   4,530 
AUD1,700,000     Australia Government International Bond      5.750   05/15/21   1,387 
 1,700,000     Australia Government International Bond      2.250   05/21/28   1,218 
$2,250,000  g  Banque Centrale de Tunisie S.A.      5.750   01/30/25   1,978 
 2,000,000  g  Bermuda Government International Bond      4.854   02/06/24   2,058 
 3,450,000  g  Bermuda Government International Bond      3.717   01/25/27   3,196 
 6,000,000  g  Brazil Minas SPE via State of Minas Gerais      5.333   02/15/28   5,730 
BRL4,500,000     Brazil Notas do Tesouro Nacional Serie F      10.000   01/01/21   1,179 
$3,300,000     Brazilian Government International Bond      5.625   02/21/47   2,802 
EUR1,000,000     Bundesrepublik Deutschland      1.250   08/15/48   1,236 
$5,000,000  g  Caisse d’Amortissement de la Dette Sociale      2.000   04/17/20   4,931 
 1,850,000  g  Caisse d’Amortissement de la Dette Sociale      1.875   07/28/20   1,816 
 4,000,000  g  Caisse d’Amortissement de la Dette Sociale      1.875   02/12/22   3,844 
EUR400,000     Caisse d’Amortissement de la Dette Sociale      1.375   11/25/24   503 
CAD1,460,000     Canadian Government International Bond      0.500   02/01/19   1,104 
 1,000,000     Canadian Government International Bond      5.000   06/01/37   1,103 
$8,800,000     Chile Government International Bond      3.240   02/06/28   8,400 
 100,000     Colombia Government International Bond      7.375   03/18/19   103 
 6,125,000     Colombia Government International Bond      2.625   03/15/23   5,813 
 4,000,000     Colombia Government International Bond      5.000   06/15/45   3,935 
 3,500,000  g  Costa Rica Government International Bond      7.158   03/12/45   3,456 
 20,200,000  g  CPPIB Capital, Inc      2.250   01/25/22   19,683 
 16,400,000  g  CPPIB Capital, Inc      2.750   11/02/27   15,762 
DOP48,650,000  g  Dominican Republic International Bond      8.900   02/15/23   1,014 
$2,000,000  g  Dominican Republic International Bond      6.500   02/15/48   1,898 
 1,000,000  g  Ecuador Government International Bond      7.875   01/23/28   838 
 2,275,000  g  Egypt Government International Bond      5.577   02/21/23   2,156 
 3,950,000  g  Egypt Government International Bond      8.500   01/31/47   3,815 
 10,000,000     European Investment Bank      2.500   04/15/21   9,908 
 250,000     European Investment Bank      3.250   01/29/24   253 
 3,500,000     European Investment Bank      4.875   02/15/36   4,320 
 3,575,000  g  Export Credit Bank of Turkey      4.250   09/18/22   3,189 
 15,000,000     Export Development Canada      2.000   11/30/20   14,740 
 2,000,000  g  Export-Import Bank of China      2.850   09/16/20   1,970 
 5,800,000  g  Export-Import Bank of India      3.875   02/01/28   5,448 
 4,950,000     Export-Import Bank of Korea      2.250   01/21/20   4,874 
EUR2,762,000     France Government Bond OAT      1.750   11/25/24   3,567 
 3,100,000     French Republic Government Bond OAT      0.750   05/25/28   3,666 
 1,250,000     French Republic Government Bond OAT      1.250   05/25/34   1,499 
 1,200,000  g  French Republic Government Bond OAT      2.000   05/25/48   1,552 
$1,000,000  g  Ghana Government International Bond      8.627   06/16/49   971 
 3,600,000  g  Guatemala Government International Bond      4.500   05/03/26   3,440 
 2,000,000  g  Guatemala Government International Bond      4.375   06/05/27   1,855 
EUR1,575,000  g  Hellenic Republic Government Bond      4.375   08/01/22   1,937 
 3,600,000  g  Hellenic Republic Government Bond      3.375   02/15/25   4,160 
$2,595,000  g  Honduras Government International Bond      7.500   03/15/24   2,766 
CAD1,800,000     Hydro-Quebec      5.000   02/15/45   1,876 

347

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
IDR18,000,000,000     Indonesia Treasury Bond      8.250%  07/15/21  $1,277 
AUD500,000     Inter-American Development Bank      4.750   08/27/24   410 
 900,000     Inter-American Development Bank      2.750   10/30/25   654 
 1,300,000     International Bank for Reconstruction & Development      2.800   01/13/21   972 
ILS3,600,000  i  Israel Government International Bond-FRN      0.180   05/31/26   977 
$6,200,000     Israel Government International Bond      3.250   01/17/28   5,981 
 4,375,000     Israel Government International Bond      4.125   01/17/48   4,121 
ILS3,100,000     Israel Government International Bond-Fixed      5.500   01/31/42   1,211 
EUR2,250,000     Italy Buoni Poliennali Del Tesoro      0.350   06/15/20   2,608 
 1,250,000     Italy Buoni Poliennali Del Tesoro      0.050   04/15/21   1,419 
 4,525,000     Italy Buoni Poliennali Del Tesoro      0.900   08/01/22   5,142 
 5,925,000     Italy Buoni Poliennali Del Tesoro      1.250   12/01/26   6,306 
 1,225,000  g  Italy Buoni Poliennali Del Tesoro      2.950   09/01/38   1,379 
 850,000  i  Italy Certificati di Credito del Tesoro  EURIBOR 6 M ACT/360 + 1.100%   0.829   10/15/24   952 
$5,310,000     Italy Government International Bond      6.875   09/27/23   5,869 
 2,457,000  g  Ivory Coast Government International Bond (Step Bond)      5.750   12/31/32   2,273 
EUR1,000,000  g  Ivory Coast Government International Bond      6.625   03/22/48   1,097 
$3,050,000     Jamaica Government International Bond      8.000   03/15/39   3,418 
 6,000,000     Japan Bank for International Cooperation      2.375   04/20/26   5,655 
 2,000,000  g  Japan Finance Organization for Municipalities      2.000   09/08/20   1,955 
 2,700,000  g  Japan Finance Organization for Municipalities      2.125   02/12/21   2,630 
 4,000,000  g  Japan Finance Organization for Municipalities      2.125   04/13/21   3,885 
JPY113,000,000     Japan Finance Organization for Municipalities      0.450   03/14/25   1,049 
 103,000,000     Japan Finance Organization for Municipalities      0.484   06/13/25   959 
 140,000,000     Japan Finance Organization for Municipalities      0.020   03/13/26   1,261 
 440,000,000     Japan Government Ten Year Bond      0.100   09/20/26   4,015 
 369,000,000     Japan Government Ten Year Bond      0.100   12/20/26   3,365 
 350,000,000     Japan Government Thirty Year Bond      2.400   11/20/31   4,083 
 350,000,000     Japan Government Thirty Year Bond      2.300   05/20/32   4,060 
 300,000,000     Japan Government Thirty Year Bond      2.500   09/20/34   3,637 
 450,000,000     Japan Government Thirty Year Bond      0.500   09/20/46   3,867 
 530,000,000     Japan Government Twenty Year Bond      1.900   03/22/21   5,052 
 120,000,000     Japan Government Twenty Year Bond      0.600   12/20/36   1,115 
 165,000,000     Japan Government Twenty Year Bond      0.500   03/20/38   1,491 
 445,000,000     Japan Government Two Year Bond      0.100   02/15/19   4,025 
 280,000,000     Japan Government Two Year Bond      0.100   04/15/19   2,534 
$475,000  g  Jordan Government International Bond      7.375   10/10/47   434 
 1,900,000  g  Kenya Government International Bond      7.250   02/28/28   1,823 
 18,750,000     KFW      2.625   01/25/22   18,589 
EUR1,025,000  g  Kingdom of Belgium Government Bond      1.600   06/22/47   1,196 
$7,700,000  g  Kommunalbanken AS.      1.625   01/15/20   7,573 
 1,925,000  g  Kommunalbanken AS.      1.375   10/26/20   1,865 
 3,750,000  g  Kommunalbanken AS.      1.625   02/10/21   3,635 
EUR500,000     Kommunalbanken AS.      0.625   04/20/26   585 
$5,000,000  g  Kommuninvest I Sverige AB      2.000   11/12/19   4,957 
 2,600,000     Korea Development Bank      2.500   03/11/20   2,565 
 4,000,000  i  Korea Development Bank  LIBOR 3 M + 0.550%   2.876   03/12/21   3,996 
 6,000,000  g  Korea Housing Finance Corp      1.625   09/15/18   5,980 
 2,675,000  g  Korea Housing Finance Corp      2.000   10/11/21   2,541 
 5,775,000  g  Korea Housing Finance Corp      3.000   10/31/22   5,598 

348

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
KRW984,000,000     Korea Treasury Bond      1.250%  12/10/19  $874 
 3,920,000,000     Korea Treasury Bond      2.000   03/10/21   3,505 
 1,900,000,000     Korea Treasury Bond      1.375   09/10/21   1,663 
 1,800,000,000     Korea Treasury Bond      1.500   12/10/26   1,487 
$7,050,000  g  Kuwait International Government Bond      2.750   03/20/22   6,866 
 1,750,000     Lebanon Government International Bond      6.750   11/29/27   1,355 
 5,250,000  g  Lithuania Government International Bond      6.625   02/01/22   5,782 
MXN14,500,000     Mexican Bonos      8.000   12/07/23   741 
 23,500,000     Mexican Bonos      5.750   03/05/26   1,057 
$4,797,000     Mexico Government International Bond      4.000   10/02/23   4,811 
 5,100,000     Mexico Government International Bond      4.150   03/28/27   5,021 
 6,650,000     Mexico Government International Bond      4.750   03/08/44   6,197 
 525,000  g  Mongolia Government International Bond      5.625   05/01/23   496 
 5,750,000  g  Morocco Government International Bond      5.500   12/11/42   5,796 
 2,900,000  g  Municipality Finance plc      1.125   09/16/19   2,846 
 3,075,000  g  Namibia Government International Bond      5.250   10/29/25   2,832 
EUR2,150,000  g  Netherlands Government International Bond      0.750   07/15/28   2,578 
AUD500,000     New South Wales Treasury Corp      4.000   05/20/26   402 
NZD700,000     New Zealand Government International Bond      4.500   04/15/27   542 
$3,050,000  g  Nigeria Government International Bond      6.500   11/28/27   2,833 
 1,550,000  g  Nigeria Government International Bond      7.143   02/23/30   1,461 
NOK26,000,000  g  Norway Government International Bond      2.000   04/26/28   3,257 
$5,000,000  g  Pakistan Government International Bond      6.875   12/05/27   4,349 
 4,000,000     Panama Government International Bond      6.700   01/26/36   4,900 
 3,000,000     Panama Government International Bond      4.500   05/15/47   2,910 
 3,150,000  g  Paraguay Government International Bond      5.600   03/13/48   3,056 
 4,000,000  g  Perusahaan Penerbit SBSN Indonesia III      3.400   03/29/22   3,915 
 11,775,000  g  Perusahaan Penerbit SBSN Indonesia III      4.400   03/01/28   11,492 
PEN4,860,000  g  Peruvian Government International Bond      8.200   08/12/26   1,763 
$3,000,000     Peruvian Government International Bond      8.750   11/21/33   4,403 
 2,250,000     Peruvian Government International Bond      5.625   11/18/50   2,613 
 625,000  g  Petroamazonas EP      4.625   11/06/20   566 
 1,700,000     Philippine Government International Bond      3.700   03/01/41   1,560 
 3,000,000     Philippine Government International Bond      3.700   02/02/42   2,749 
 6,150,000     Poland Government International Bond      5.000   03/23/22   6,484 
PLN6,600,000     Poland Government International Bond      4.000   10/25/23   1,886 
$15,000,000     Province of British Columbia Canada      2.000   10/23/22   14,411 
CAD2,350,000     Province of British Columbia Canada      2.550   06/18/27   1,765 
$20,750,000     Province of Manitoba Canada      1.750   05/30/19   20,583 
 10,000,000     Province of Manitoba Canada      3.050   05/14/24   9,893 
 25,000,000     Province of Manitoba Canada      2.125   06/22/26   22,822 
 22,500,000     Province of Quebec Canada      3.500   07/29/20   22,815 
CAD1,650,000     Province of Quebec Canada      2.750   09/01/27   1,259 
$6,000,000     Province of Quebec Canada      7.500   09/15/29   8,225 
 2,000,000  g  Provincia de Mendoza Argentina      8.375   05/19/24   1,843 
 2,000,000  g  Qatar Government International Bond      3.875   04/23/23   1,998 
EUR850,000  g  Republic of Austria Government International Bond      0.750   02/20/28   1,007 
PLN4,000,000     Republic of Poland Government International Bond      3.250   07/25/25   1,086 
$2,475,000     Republic of South Africa Government International Bond      4.850   09/27/27   2,338 

349

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$100,000     Republic of the Philippines      6.500%  01/20/20  $105 
 6,176,000  g  Romanian Government International Bond      5.125   06/15/48   5,935 
RUB88,750,000     Russian Federal Bond - Federal Loan Obligation      7.000   01/25/23   1,394 
$3,250,000  g  Russian Foreign Bond - Eurobond      4.875   09/16/23   3,372 
 4,200,000  g  Russian Foreign Bond - Eurobond      4.375   03/21/29   4,056 
 3,000,000  g  Russian Foreign Bond - Eurobond      5.250   06/23/47   2,888 
 1,500,000  g  Saudi Government International Bond      2.375   10/26/21   1,440 
 3,775,000  g  Saudi Government International Bond      2.875   03/04/23   3,631 
 4,000,000  g  Saudi Government International Bond      3.250   10/26/26   3,747 
 14,775,000  g  Saudi Government International Bond      4.500   04/17/30   14,744 
EUR1,000,000  g  Senegal Government International Bond      4.750   03/13/28   1,087 
$2,600,000  g  Senegal Government International Bond      6.250   05/23/33   2,302 
 4,000,000  g  Senegal Government International Bond      6.750   03/13/48   3,408 
SGD2,020,000     Singapore Government International Bond      2.000   07/01/20   1,483 
 4,250,000     Singapore Government International Bond      1.750   04/01/22   3,075 
$4,000,000     South Africa Government International Bond      5.875   09/16/25   4,104 
ZAR12,200,000     South Africa Government International Bond      10.500   12/21/26   974 
 15,100,000     South Africa Government International Bond      8.750   01/31/44   1,005 
EUR3,320,000     Spain Government International Bond      0.400   04/30/22   3,919 
 2,550,000  g  Spain Government International Bond      2.750   10/31/24   3,359 
 1,070,000  g  Spain Government International Bond      1.400   07/30/28   1,251 
 600,000  g  Spain Government International Bond      2.350   07/30/33   742 
 1,000,000  g  Spain Government International Bond      2.700   10/31/48   1,211 
$3,000,000  g  Sri Lanka Government International Bond      5.750   01/18/22   2,947 
 1,250,000  g  Sri Lanka Government International Bond      5.750   04/18/23   1,197 
 1,500,000  g  Sri Lanka Government International Bond      6.850   11/03/25   1,450 
 4,000,000     Svensk Exportkredit AB      1.750   03/10/21   3,887 
SEK4,400,000     Sweden Government International Bond      2.250   06/01/32   579 
THB26,500,000     Thailand Government International Bond      1.875   06/17/22   796 
 47,900,000     Thailand Government International Bond      3.400   06/17/36   1,473 
AUD500,000     Treasury Corp of Victoria      6.000   06/15/20   397 
 2,175,000     Treasury Corp of Victoria      3.000   10/20/28   1,616 
$7,000,000     Turkey Government International Bond      3.250   03/23/23   6,207 
 5,750,000     Turkey Government International Bond      5.750   03/22/24   5,536 
 2,600,000     Turkey Government International Bond      6.000   03/25/27   2,442 
 5,650,000     Turkey Government International Bond      5.125   02/17/28   4,970 
 2,950,000     Turkey Government International Bond      6.875   03/17/36   2,771 
 6,300,000  g  Ukraine Government International Bond      7.375   09/25/32   5,393 
GBP2,375,000     United Kingdom Gilt      1.750   07/22/19   3,170 
 2,365,000     United Kingdom Gilt      2.750   09/07/24   3,429 
 2,450,000     United Kingdom Gilt      4.750   12/07/30   4,422 
 1,000,000     United Kingdom Gilt      4.250   03/07/36   1,842 
 2,150,000     United Kingdom Gilt      1.500   07/22/47   2,686 
UYU20,760,000  g  Uruguay Government International Bond      9.875   06/20/22   655 
$2,352,945     Uruguay Government International Bond      4.375   10/27/27   2,382 
UYU21,800,000  g  Uruguay Government International Bond      8.500   03/15/28   600 
$6,750,000     Uruguay Government International Bond      5.100   06/18/50   6,636 
       TOTAL FOREIGN GOVERNMENT BONDS           720,815 
                        
MORTGAGE BACKED - 17.5%
 34,962,898     Federal Home Loan Mortgage Corp (FHLMC)      3.500   08/15/43   35,358 
 9,340,092     FHLMC      3.000   03/15/44   9,135 

350

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$25,731,373     FHLMC      3.500%  09/15/44  $25,779 
 25,595,915  i  FHLMC  LIBOR 1 M + 9.920%   6.603   06/15/48   27,167 
 25,059     Federal Home Loan Mortgage Corp Gold (FGLMC)      7.000   10/01/20   26 
 8,218     FGLMC      7.000   05/01/23   9 
 12,393,228     FGLMC      3.500   03/01/27   12,539 
 23,885     FGLMC      8.000   01/01/31   25 
 5,387     FGLMC      7.000   01/01/32   5 
 639,312     FGLMC      4.500   07/01/33   670 
 1,363,020     FGLMC      5.500   12/01/33   1,477 
 755,797     FGLMC      5.500   12/01/33   824 
 4,417,125     FGLMC      7.000   12/01/33   4,952 
 1,335,693     FGLMC      4.500   10/01/34   1,397 
 835,065     FGLMC      4.500   04/01/35   873 
 1,356,277     FGLMC      7.000   05/01/35   1,519 
 1,647,240     FGLMC      5.000   04/01/38   1,761 
 1,366,503     FGLMC      5.000   07/01/39   1,459 
 166,960     FGLMC      4.500   12/01/43   176 
 105,241     FGLMC      4.500   02/01/44   111 
 4,195,707     FGLMC      4.500   10/01/44   4,419 
 1,590,697     FGLMC      4.500   11/01/44   1,670 
 2,578,809     FGLMC      4.500   11/01/44   2,717 
 875,029     FGLMC      4.500   12/01/44   915 
 1,430,583     FGLMC      4.500   12/01/44   1,517 
 8,254,405     FGLMC      3.500   04/01/45   8,259 
 1,080,764     FGLMC      4.500   05/01/45   1,099 
 64,968,657     FGLMC      3.500   10/01/45   64,973 
 39,530,510     FGLMC      4.000   12/01/45   40,630 
 97,710,992  h  FGLMC      3.500   08/01/46   97,830 
 48,466,477     FGLMC      3.000   01/01/47   46,919 
 97,419,968     FGLMC      3.000   02/01/47   94,348 
 6,187,666     FGLMC      4.000   09/01/47   6,394 
 41,752,149     FGLMC      4.000   03/01/48   42,833 
 1,200     Federal National Mortgage Association (FNMA)   8.000   03/01/23   1 
 59,717     FNMA      8.000   07/01/24   66 
 12,971     FNMA      9.000   11/01/25   14 
 21,943,077     FNMA      3.500   02/01/32   22,226 
 7,301,617     FNMA      3.500   05/01/32   7,414 
 18,338,056     FNMA      3.500   07/01/32   18,574 
 782,582     FNMA      6.500   07/01/32   869 
 67,375     FNMA      7.000   07/01/32   69 
 141,999     FNMA      7.000   07/01/32   148 
 16,894,811     FNMA      3.000   11/01/32   16,805 
 5,303,991     FNMA      5.000   06/01/33   5,679 
 672,429     FNMA      4.500   10/01/33   704 
 12,660,961     FNMA      5.000   10/01/33   13,559 
 81,044     FNMA      5.000   11/01/33   86 
 1,763,377     FNMA      5.000   11/01/33   1,906 
 676,234     FNMA      5.000   03/01/34   724 
 5,543,503     FNMA      5.500   03/01/34   6,028 
 4,768,056     FNMA      5.500   02/01/35   5,183 
 1,194,782     FNMA      4.500   05/01/35   1,251 
 7,640,017     FNMA      5.000   05/01/35   8,180 
 3,405,882     FNMA      5.000   10/01/35   3,648 
 2,871,986     FNMA      5.000   02/01/36   3,076 

351

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$31,878     FNMA      6.500%  03/01/37  $36 
 1,777,986     FNMA      5.500   08/01/37   1,931 
 1,062,264     FNMA      6.000   09/01/37   1,193 
 801,502     FNMA      6.000   09/01/37   898 
 499,196     FNMA      6.500   09/01/37   550 
 1,100,857     FNMA      5.500   01/01/38   1,193 
 65,062     FNMA      6.500   02/01/38   72 
 2,787,183     FNMA      5.500   04/01/38   3,010 
 6,321,481     FNMA      5.500   11/01/38   6,847 
 4,195,274     FNMA      5.500   12/01/38   4,583 
 131,670     FNMA      4.500   04/01/39   138 
 2,709,755     FNMA      5.500   08/01/39   2,959 
 215,114     FNMA      4.500   02/01/40   226 
 1,152,208     FNMA      5.000   08/01/40   1,236 
 6,324,780     FNMA      5.000   09/01/40   6,779 
 429,919     FNMA      6.000   10/01/40   473 
 633,683     FNMA      4.500   11/01/40   667 
 1,147,033     FNMA      4.500   01/01/41   1,207 
 866,502     FNMA      4.500   02/01/41   909 
 9,685,943     FNMA      5.000   05/01/41   10,389 
 1,131,911     FNMA      4.500   06/01/41   1,189 
 1,005,240     FNMA      4.500   06/01/41   1,056 
 518,926     FNMA      5.000   06/01/41   556 
 3,160,304     FNMA      5.000   07/01/41   3,389 
 911,080     FNMA      5.000   08/01/41   977 
 1,219,249     FNMA      4.500   12/01/41   1,279 
 18,858,882     FNMA      5.500   12/01/41   20,892 
 1,254,778     FNMA      4.500   01/01/42   1,318 
 1,195,542     FNMA      4.500   03/01/42   1,251 
 1,094,755     FNMA      4.500   04/01/42   1,150 
 6,378,461     FNMA      4.500   04/01/42   6,710 
 1,364,299     FNMA      4.500   06/01/42   1,433 
 5,248,486     FNMA      4.500   06/01/42   5,511 
 940,314     FNMA      4.500   07/01/42   988 
 7,751,291     FNMA      4.500   06/01/44   8,125 
 7,626,171     FNMA      4.500   10/01/44   7,995 
 13,927,832     FNMA      4.500   11/01/44   14,597 
 4,023,696     FNMA      4.500   12/01/44   4,218 
 41,403,517     FNMA      3.000   02/25/45   41,020 
 8,751,965     FNMA      3.000   02/25/45   8,638 
 749,064     FNMA      3.500   03/01/45   750 
 525,142     FNMA      3.500   03/01/45   526 
 1,796,215     FNMA      4.500   03/01/45   1,900 
 12,078,241     FNMA      3.000   03/25/45   11,916 
 685,075     FNMA      4.500   04/01/45   725 
 31,387,487     FNMA      3.500   04/25/45   31,613 
 36,800,402     FNMA      3.500   04/25/45   37,005 
 16,774,113     FNMA      3.500   05/01/45   16,832 
 73,741,649     FNMA      3.000   12/25/45   72,190 
 23,341,224     FNMA      3.500   01/01/46   23,332 
 41,487,511     FNMA      4.000   01/01/46   42,585 
 20,803,457     FNMA      3.500   06/01/46   20,781 
 4,757,979     FNMA      3.500   08/01/46   4,750 

352

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$23,271,266     FNMA      3.500%  10/01/46  $23,246 
 48,118,907     FNMA      3.500   12/01/46   48,022 
 135,514,430  h  FNMA      3.500   01/01/47   135,221 
 28,547,592  h  FNMA      3.000   04/01/47   27,688 
 182,295  h  FNMA      3.500   08/01/47   182 
 3,838,066  h  FNMA      3.500   11/01/47   3,822 
 16,245,947     FNMA      4.500   02/01/48   17,111 
 140,819,353     FNMA      3.000   02/25/48   137,711 
 17,089,683     FNMA      4.000   03/01/48   17,541 
 68,425,011     FNMA      4.500   03/01/48   72,068 
 229,923,904  h  FNMA      4.000   04/01/48   234,709 
 102,660,000  h  FNMA      4.500   07/01/48   107,032 
 4,000,000  h  FNMA      3.000   08/25/48   3,870 
 8,000,000  h  FNMA      3.500   08/25/48   7,950 
 4,738     Government National Mortgage Association (GNMA)      8.000   06/15/24   5 
 19,318     GNMA      8.500   11/20/30   22 
 32,995     GNMA      8.500   12/20/30   38 
 14,321,768     GNMA      3.700   10/15/33   14,397 
 249,300     GNMA      6.000   10/20/36   275 
 290,585     GNMA      6.000   01/20/37   322 
 886,492     GNMA      6.000   02/20/37   979 
 620,647     GNMA      5.000   04/15/38   661 
 294,864     GNMA      6.000   08/20/38   326 
 553,497     GNMA      6.500   11/20/38   620 
 64,444     GNMA      4.500   02/20/39   68 
 239,491     GNMA      2.176   05/16/39   238 
 2,096,134     GNMA      5.000   06/15/39   2,239 
 1,372,372     GNMA      5.000   06/15/39   1,466 
 11,449,517     GNMA      3.700   08/15/40   11,518 
 90,988     GNMA      4.500   08/20/41   97 
 325,215     GNMA      4.500   09/20/41   345 
 71,006     GNMA      4.500   01/20/44   75 
 75,062     GNMA      4.500   02/20/44   79 
 137,111     GNMA      4.500   05/20/44   146 
 935,197     GNMA      4.500   05/20/44   992 
 1,066,659     GNMA      4.500   08/20/44   1,133 
 1,076,714     GNMA      4.500   09/20/44   1,141 
 382,023     GNMA      4.500   10/20/44   404 
 234,415     GNMA      4.500   11/20/44   245 
 670,977     GNMA      4.500   12/20/44   712 
 1,019,359     GNMA      4.500   02/20/45   1,082 
 1,179,225     GNMA      4.500   08/20/45   1,252 
 1,269,221     GNMA      4.500   08/20/45   1,347 
 1,186,219     GNMA      4.500   12/20/45   1,258 
 44,960,782     GNMA      3.000   12/20/47   44,002 
 104,689,743     GNMA      3.500   12/20/47   105,153 
 89,680,257     GNMA      3.000   01/20/48   87,768 
 89,989,615     GNMA      3.500   01/20/48   90,388 
 32,566,452     GNMA      4.000   03/20/48   33,400 
 6,000,000  h  GNMA      3.500   08/20/48   6,014 
       TOTAL MORTGAGE BACKED              2,344,868 

353

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
MUNICIPAL BONDS - 3.6%
$28,410,000     California State University      3.899%  11/01/47  $28,513 
 845,000     City & County of San Francisco CA      3.750   09/01/37   838 
 2,000,000     City & County of San Francisco CA      4.000   09/01/48   1,985 
 10,000,000     City of Dallas TX Waterworks & Sewer System Revenue      0.985   10/01/18   9,970 
 8,725,000     City of Dallas TX Waterworks & Sewer System Revenue      1.217   10/01/19   8,583 
 5,000,000     City of Dallas TX Waterworks & Sewer System Revenue      1.868   10/01/22   4,773 
 2,775,000     City of Dallas TX Waterworks & Sewer System Revenue      2.068   10/01/23   2,638 
 1,350,000     City of Dallas TX Waterworks & Sewer System Revenue      2.389   10/01/25   1,272 
 3,995,000     City of Los Angeles CA Wastewater System Revenue      4.029   06/01/39   4,032 
 2,025,000     City of San Antonio TX Customer Facility Charge Revenue      4.253   07/01/24   2,026 
 1,575,000     City of San Antonio TX Customer Facility Charge Revenue      4.353   07/01/25   1,578 
 20,000,000     City of San Francisco CA Public Utilities Commission Water Revenue      4.035   11/01/41   20,287 
 5,815,000     Commonwealth Financing Authority      3.864   06/01/38   5,692 
 9,950,000     Commonwealth of Massachusetts      3.277   06/01/46   9,146 
 1,875,000     County of Miami-Dade FL Aviation Revenue      1.885   10/01/21   1,805 
 1,505,000     County of Miami-Dade FL Aviation Revenue      2.218   10/01/22   1,447 
 1,500,000     County of Miami-Dade FL Aviation Revenue      2.368   10/01/23   1,438 
 3,500,000     County of Miami-Dade FL Aviation Revenue      2.504   10/01/24   3,336 
 3,500,000     County of Miami-Dade FL Aviation Revenue      2.604   10/01/25   3,312 
 2,500,000     County of Miami-Dade FL Aviation Revenue      2.704   10/01/26   2,351 
 3,730,000     County of Miami-Dade FL Aviation Revenue      3.732   10/01/37   3,598 
 3,900,000     County of Miami-Dade FL Aviation Revenue      3.982   10/01/41   3,878 
 25,000,000     Florida Hurricane Catastrophe Fund Finance Corp      2.995   07/01/20   25,071 
 5,080,000     Illinois Finance Authority      3.944   08/15/47   5,096 
 1,895,000     Imperial Irrigation District Electric System Revenue      1.095   11/01/18   1,887 
 5,265,000     Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy      1.125   09/01/19   5,179 
 2,350,000     Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy      1.500   09/01/21   2,248 
 1,000,000     Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy      2.000   09/01/22   958 
 4,805,000     Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy      3.375   09/01/35   4,480 
 2,560,000     Michigan Finance Authority      1.941   11/01/21   2,438 
 3,000,000     Michigan Finance Authority      2.244   11/01/22   2,849 
 500,000     New Jersey Economic Development Authority      3.300   06/15/19   501 
 570,000     New Jersey Economic Development Authority      3.500   06/15/20   572 
 500,000     New Jersey Economic Development Authority      3.700   06/15/21   504 
 1,110,000     New Jersey Economic Development Authority      3.800   07/01/22   1,103 
 5,680,000     New York State Dormitory Authority      3.998   07/01/39   5,716 
 6,000,000     New York State Dormitory Authority      3.879   07/01/46   5,866 
 3,500,000     Palm Beach County Solid Waste Authority      2.083   10/01/21   3,404 
 2,625,000     Permanent University Fund      1.730   07/01/18   2,625 
 4,720,000     Permanent University Fund      1.880   07/01/19   4,685 

354

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$2,320,000     Permanent University Fund      2.258%  07/01/20  $2,293 
 2,160,000     Permanent University Fund      2.408   07/01/21   2,121 
 2,750,000     Permanent University Fund      2.508   07/01/22   2,685 
 2,855,000     Permanent University Fund      2.608   07/01/23   2,785 
 3,250,000     Permanent University Fund      2.708   07/01/24   3,156 
 2,335,000     Permanent University Fund      2.808   07/01/25   2,264 
 3,775,000     Permanent University Fund      2.908   07/01/26   3,651 
 4,000,000     Permanent University Fund      3.008   07/01/27   3,855 
 2,000,000     Port of Corpus Christi Authority of Nueces County      3.138   12/01/22   1,983 
 1,700,000     Port of Corpus Christi Authority of Nueces County      3.287   12/01/23   1,686 
 1,500,000     Port of Corpus Christi Authority of Nueces County      3.387   12/01/24   1,479 
 1,000,000     Port of Corpus Christi Authority of Nueces County      3.487   12/01/25   984 
 7,500,000     Port of Morrow OR      1.582   09/01/20   7,299 
 2,075,000     Port of Morrow OR      1.782   09/01/21   1,998 
 1,955,000     Public Finance Authority      4.269   07/01/40   1,967 
 1,000,000     Regents of the University of California Medical Center Pooled Revenue      2.037   05/15/23   949 
 1,000,000     Regents of the University of California Medical Center Pooled Revenue      2.259   05/15/24   942 
 1,250,000     Regents of the University of California Medical Center Pooled Revenue      2.359   05/15/25   1,169 
 1,785,000     Regents of the University of California Medical Center Pooled Revenue      2.459   05/15/26   1,658 
 1,600,000     Regents of the University of California Medical Center Pooled Revenue      2.559   05/15/27   1,480 
 700,000     Regents of the University of California Medical Center Pooled Revenue      2.659   05/15/28   645 
 900,000     Regents of the University of California Medical Center Pooled Revenue      2.759   05/15/29   827 
 11,360,000     San Jose Redevelopment Agency      3.375   08/01/34   10,870 
 13,060,000     State of California      4.600   04/01/38   13,680 
 3,060,000     State of Georgia      2.000   07/01/20   3,011 
 3,215,000     State of Georgia      2.150   07/01/21   3,149 
 3,465,000     State of Georgia      1.910   02/01/23   3,295 
 3,905,000     State of Georgia      2.750   07/01/25   3,791 
 4,100,000     State of Georgia      2.850   07/01/26   3,985 
 4,305,000     State of Georgia      2.950   07/01/27   4,198 
 4,520,000     State of Georgia      3.050   07/01/28   4,355 
 3,245,000     State of Georgia      3.150   07/01/29   3,127 
 7,500,000     State of Illinois      2.000   06/15/19   7,433 
 7,160,000     State of Illinois      5.463   02/01/20   7,341 
 12,500,000     State of Illinois      1.930   06/15/20   12,208 
 12,500,000     State of Illinois      2.250   06/15/21   12,126 
 12,500,000     State of Illinois      3.150   06/15/26   11,839 
 12,500,000     State of Illinois      3.250   06/15/27   11,817 
 15,185,000     State of Illinois      5.100   06/01/33   14,371 
 20,000,000     State of Michigan      1.579   11/01/20   19,472 
 13,000,000     State of Michigan      1.779   11/01/21   12,562 
 7,000,000     State of Michigan      1.966   11/01/22   6,716 
 9,900,000     State of Wisconsin      3.154   05/01/27   9,678 
 8,000,000     The Ohio State University      3.798   12/01/46   7,916 
 6,000,000     University of California      2.570   05/15/22   5,866 
 17,045,000     University of California      3.931   05/15/45   17,052 
 20,000,000     University of New Mexico      3.532   06/20/32   19,756 

355

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$500,000     Utah Municipal Power Agency      1.630%  07/01/19  $494 
 835,000     Utah Municipal Power Agency      1.823   07/01/20   814 
 500,000     Utah Municipal Power Agency      2.023   07/01/21   483 
 1,750,000     Utah Municipal Power Agency      2.262   07/01/22   1,681 
 1,500,000     Utah Municipal Power Agency      2.512   07/01/23   1,437 
 2,160,000     Virginia Port Authority      4.228   07/01/36   2,158 
       TOTAL MUNICIPAL BONDS              482,237 
                        
U.S. TREASURY SECURITIES - 18.4%
 65,602,000     United States Treasury Bond      4.500   02/15/36   80,157 
 4,500,000     United States Treasury Bond      4.750   02/15/37   5,699 
 38,000,000     United States Treasury Bond      3.500   02/15/39   41,344 
 11,900,000     United States Treasury Bond      3.875   08/15/40   13,677 
 19,135,000     United States Treasury Bond      4.375   05/15/41   23,605 
 16,434,000     United States Treasury Bond      3.750   08/15/41   18,580 
 56,375,000     United States Treasury Bond      3.625   08/15/43   62,755 
 35,680,000     United States Treasury Bond      3.000   05/15/45   35,784 
 81,710,000     United States Treasury Bond      2.875   08/15/45   79,999 
 102,850,000     United States Treasury Bond      2.500   05/15/46   93,364 
 1,075,000     United States Treasury Bond      3.000   05/15/47   1,077 
 89,160,000     United States Treasury Bond      2.750   11/15/47   84,984 
 65,970,000     United States Treasury Bond      3.000   02/15/48   66,125 
 43,000,000     United States Treasury Bond      3.125   05/15/48   44,154 
 31,889,840  k  United States Treasury Inflation Indexed Bonds      0.500   01/15/28   31,194 
 37,665,000     United States Treasury Note      0.875   07/15/18   37,652 
 12,100,000     United States Treasury Note      2.250   07/31/18   12,104 
 25,000,000     United States Treasury Note      1.000   08/15/18   24,973 
 12,700,000     United States Treasury Note      0.750   08/31/18   12,676 
 9,966,900     United States Treasury Note      1.375   09/30/18   9,952 
 71,675,000     United States Treasury Note      0.750   10/31/18   71,381 
 1,365,000     United States Treasury Note      1.750   10/31/18   1,364 
 5,325,000     United States Treasury Note      1.000   11/30/18   5,301 
 9,115,000     United States Treasury Note      1.250   12/31/18   9,073 
 10,950,000     United States Treasury Note      1.125   01/31/19   10,882 
 17,775,000     United States Treasury Note      1.000   03/15/19   17,620 
 1,195,000     United States Treasury Note      0.875   04/15/19   1,182 
 5,400,000     United States Treasury Note      1.250   04/30/19   5,352 
 43,115,000     United States Treasury Note      1.250   05/31/19   42,696 
 50,000,000     United States Treasury Note      1.250   06/30/19   49,451 
 68,575,000     United States Treasury Note      1.375   07/31/19   67,841 
 48,700,000     United States Treasury Note      1.250   08/31/19   48,046 
 1,680,000     United States Treasury Note      1.500   10/31/19   1,659 
 56,165,000     United States Treasury Note      2.000   01/31/20   55,742 
 2,250,000     United States Treasury Note      1.375   02/15/20   2,210 
 25,000,000     United States Treasury Note      2.250   02/29/20   24,896 
 4,790,000     United States Treasury Note      1.625   03/15/20   4,719 
 5,340,000     United States Treasury Note      2.250   03/31/20   5,316 
 54,320,000     United States Treasury Note      2.375   04/30/20   54,176 
 7,500,000     United States Treasury Note      1.500   05/15/20   7,360 
 80,420,000     United States Treasury Note      2.500   05/31/20   80,379 
 21,800,000     United States Treasury Note      1.625   07/31/20   21,389 
 51,565,000     United States Treasury Note      2.125   08/31/20   51,094 
 40,110,000     United States Treasury Note      1.375   09/15/20   39,093 

356

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$3,000,000     United States Treasury Note      1.750%  12/31/20  $2,939 
 825,000     United States Treasury Note      2.125   01/31/21   815 
 12,589,300     United States Treasury Note      1.125   02/28/21   12,112 
 12,720,000     United States Treasury Note      2.000   02/28/21   12,521 
 18,635,000     United States Treasury Note      1.375   04/30/21   18,006 
 3,240,000     United States Treasury Note      2.250   04/30/21   3,208 
 63,695,000     United States Treasury Note      2.625   05/15/21   63,692 
 1,040,000     United States Treasury Note      1.375   05/31/21   1,004 
 16,465,000     United States Treasury Note      2.000   05/31/21   16,179 
 99,705,000     United States Treasury Note      2.625   06/15/21   99,709 
 1,730,000     United States Treasury Note      2.125   06/30/21   1,705 
 11,825,000     United States Treasury Note      2.000   08/31/21   11,594 
 1,710,000     United States Treasury Note      1.750   03/31/22   1,653 
 1,600,000     United States Treasury Note      1.875   03/31/22   1,554 
 8,000,000     United States Treasury Note      1.750   04/30/22   7,725 
 7,000,000     United States Treasury Note      2.000   07/31/22   6,809 
 30,000,000     United States Treasury Note      2.000   11/30/22   29,112 
 500,000     United States Treasury Note      1.750   01/31/23   479 
 27,530,000     United States Treasury Note      2.625   02/28/23   27,412 
 204,059,000     United States Treasury Note      2.750   04/30/23   204,194 
 241,287,000     United States Treasury Note      2.750   05/31/23   241,504 
 510,000     United States Treasury Note      1.375   06/30/23   477 
 500,000     United States Treasury Note      1.250   07/31/23   465 
 7,000,000     United States Treasury Note      2.125   02/29/24   6,761 
 2,500,000     United States Treasury Note      2.625   03/31/25   2,471 
 51,910,000     United States Treasury Note      2.875   05/31/25   52,099 
 136,000,000     United States Treasury Note      2.750   02/15/28   134,783 
 37,970,000     United States Treasury Note      2.875   05/15/28   38,029 
       TOTAL U.S. TREASURY SECURITIES           2,457,088 
                        
       TOTAL GOVERNMENT BONDS           6,239,708 
       (Cost $6,316,425)                
                        
STRUCTURED ASSETS - 18.7%
                        
ASSET BACKED - 9.0%
 11,450,000     Ally Auto Receivables Trust      2.100   03/15/22   11,243 
       Series - 2017 2 (Class A4)                
 24,500,000     American Express Credit Account Master Trust      2.350   05/15/25   23,789 
       Series - 2017 7 (Class A)                
 1,550,000     AmeriCredit Automobile Receivables Trust      2.400   01/08/21   1,546 
       Series - 2015 2 (Class C)                
 2,824,083     AmeriCredit Automobile Receivables Trust      1.460   05/10/21   2,808 
       Series - 2016 3 (Class A3)                
 12,805,000     AmeriCredit Automobile Receivables Trust      3.340   08/08/21   12,842 
       Series - 2015 3 (Class D)                
 5,500,000     AmeriCredit Automobile Receivables Trust      1.870   08/18/21   5,459 
       Series - 2017 1 (Class A3)                
 5,000,000     AmeriCredit Automobile Receivables Trust      1.900   03/18/22   4,927 
       Series - 2017 3 (Class A3)                
 5,500,000     AmeriCredit Automobile Receivables Trust      2.740   12/08/22   5,414 
       Series - 2016 4 (Class D)                
 3,500,000  g  Anchorage Capital CLO Ltd      3.300   10/15/27   3,469 
       Series - 2015 7A (Class B2R)                

357

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$74,236  †,g,m  Asset Backed Funding Corp NIM Trust      5.900%  07/26/35  $0^
       Series - 2006 WMC1 (Class N1)                
 5,000,000  g,i  Aventura Mall Trust      3.867   12/05/32   5,086 
       Series - 2013 AVM (Class E)                
 1,000,000  g,i  Aventura Mall Trust      3.867   12/05/32   1,017 
       Series - 2013 AVM (Class C)                
 7,500,000  g,i  Aventura Mall Trust      3.867   12/05/32   7,610 
       Series - 2013 AVM (Class B)                
 1,350,500  g  Avis Budget Rental Car Funding AESOP LLC      1.920   09/20/19   1,349 
       Series - 2013 1A (Class A)                
 12,000,000  g  Avis Budget Rental Car Funding AESOP LLC      3.070   09/20/23   11,740 
       Series - 2017 1A (Class A)                
 32,000,000  g  Avis Budget Rental Car Funding AESOP LLC      2.970   03/20/24   31,218 
       Series - 2017 2A (Class A)                
 3,850,000  g  BBCMS Trust      3.821   09/05/32   3,852 
       Series - 2013 TYSN (Class C)                
 2,500,000  g  Bowman Park CLO Ltd      3.545   11/23/25   2,500 
       Series - 2014 1A (Class B2R)                
 5,250,000     Capital Auto Receivables Asset Trust      1.690   03/20/21   5,190 
       Series - 2016 3 (Class A4)                
 8,000,000  g  Capital Automotive REIT      3.660   10/15/44   7,911 
       Series - 2014 1A (Class A)                
 6,918,333  g  Capital Automotive REIT      3.870   04/15/47   6,902 
       Series - 2017 1A (Class A1)                
 14,000,000     Capital One Multi-Asset Execution Trust      2.430   01/15/25   13,685 
       Series - 2017 A3 (Class A3)                
 29,500,000     Capital One Multi-Asset Execution Trust      2.290   07/15/25   28,592 
       Series - 2017 A6 (Class A6)                
 5,500,000     CarMax Auto Owner Trust      1.970   04/15/22   5,419 
       Series - 2017 3 (Class A3)                
 4,850,000     CarMax Auto Owner Trust      2.250   09/15/22   4,750 
       Series - 2017 2 (Class A4)                
 4,100,000     CarMax Auto Owner Trust      2.330   05/15/23   4,009 
       Series - 2017 4 (Class A4)                
 2,500,000  g  Cent CLO 21 Ltd      3.500   07/27/26   2,499 
       Series - 2014 21A (Class A2BR)                
 428,194  i  Chase Funding Mortgage Loan Asset-Backed Certificates      5.700   02/26/35   402 
       Series - 2004 2 (Class 1M2)                
 479,785     CIT Group Home Equity Loan Trust (Step Bond)      6.200   02/25/30   489 
       Series - 2002 1 (Class AF6)                
 9,500,000     CNH Equipment Trust      2.170   04/17/23   9,241 
       Series - 2017 B (Class A4)                
 39,990,000     CNH Equipment Trust      2.360   11/15/24   38,982 
       Series - 2017 C (Class A4)                
 2,000,000     CNH Equipment Trust      3.300   04/15/25   2,005 
       Series - 2018 A (Class A4)                
 3,000,000     CNH Equipment Trust      3.470   10/15/25   3,010 
       Series - 2018 A (Class B)                
 5,005,643  g  DaimlerChrysler Capital Auto Receivables Trust      1.640   07/15/21   4,974 
       Series - 2016 BA (Class A3)                

358

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$19,833,750  g  DB Master Finance LLC      3.980%  02/20/45  $19,885 
       Series - 2015 1A (Class A2II)                
 21,029,325  g  DB Master Finance LLC      3.629   11/20/47   20,651 
       Series - 2017 1A (Class A2I)                
 5,000,000     Discover Card Execution Note Trust      2.390   07/15/24   4,883 
       Series - 2017 A2 (Class A2)                
 2,450,000  g  Domino’s Pizza Master Issuer LLC      4.474   10/25/45   2,510 
       Series - 2015 1A (Class A2II)                
 64,512,500  g  Domino’s Pizza Master Issuer LLC      3.082   07/25/47   62,527 
       Series - 2017 1A (Class A2II)                
 13,650,000  g  Domino’s Pizza Master Issuer LLC      4.116   07/25/48   13,793 
       Series - 2018 1A (Class A2I)                
 6,435,000  g  FOCUS Brands Funding LLC      3.857   04/30/47   6,433 
       Series - 2017 1A (Class A2I)                
 5,000,000     Ford Credit Auto Lease Trust      1.880   04/15/20   4,974 
       Series - 2017 A (Class A3)                
 18,000,000  g  Ford Credit Auto Owner Trust      2.150   07/15/26   17,758 
       Series - 2015 1 (Class A)                
 17,400,000  g  Ford Credit Auto Owner Trust      2.440   01/15/27   17,172 
       Series - 2015 2 (Class A)                
 3,500,000  g  Ford Credit Auto Owner Trust      2.310   08/15/27   3,428 
       Series - 2016 1 (Class A)                
 16,500,000  g  Ford Credit Auto Owner Trust      2.030   12/15/27   15,977 
       Series - 2016 2 (Class A)                
 12,000,000  g  Ford Credit Auto Owner Trust      2.620   08/15/28   11,751 
       Series - 2017 1 (Class A)                
 27,050,000  g  Ford Credit Auto Owner Trust      2.360   03/15/29   26,085 
       Series - 2017 2 (Class A)                
 20,500,000     Ford Credit Auto Owner Trust      3.190   07/15/31   20,167 
       Series - 2016 1 (Class A)                
 3,500,000     Ford Credit Floorplan Master Owner Trust      2.070   05/15/22   3,438 
       Series - 2017 1 (Class A1)                
 5,000,000     Ford Credit Floorplan Master Owner Trust      2.390   08/15/22   4,937 
       Series - 2015 5 (Class A)                
 7,000,000     Ford Credit Floorplan Master Owner Trust      2.480   09/15/24   6,818 
       Series - 2017 3 (Class A)                
 2,250,000  g,i  FREMF Mortgage Trust      4.156   03/25/49   2,241 
       Series - 2016 K53 (Class B)                
 6,000,000  g  GM Financial Consumer Automobile Receivables Trust      2.130   03/16/23   5,844 
       Series - 2017 3A (Class A4)                
 7,000,000  g  GMF Floorplan Owner Revolving Trust      2.130   07/15/20   6,856 
       Series - 2017 2 (Class A1)                
 3,500,000  g  GMF Floorplan Owner Revolving Trust      1.960   05/17/21   3,477 
       Series - 2016 1 (Class A1)                
 884,582  g  HERO Funding Trust      3.280   09/20/48   873 
       Series - 2017 2A (Class A1)                
 1,769,164  g  HERO Funding Trust      4.070   09/20/48   1,793 
       Series - 2017 2A (Class A2)                
 15,500,000  g  Hertz Vehicle Financing II LP      3.290   02/25/24   15,154 
       Series - 2018 1A (Class A)                
 1,901,667  g  Hertz Vehicle Financing LLC      1.830   08/25/19   1,900 
       Series - 2013 1A (Class A2)                
 5,000,000  g  Hertz Vehicle Financing LLC      2.320   03/25/20   4,979 
       Series - 2016 1A (Class A)                

359

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$11,875,000  g  Hertz Vehicle Financing LLC      2.270%  07/25/20  $11,781 
       Series - 2016 3A (Class A)                
 10,000,000  g  Hertz Vehicle Financing LLC      4.030   07/25/24   10,018 
       Series - 2018 3A (Class A)                
 8,430,869  g  Hilton Grand Vacations Trust      2.660   12/26/28   8,280 
       Series - 2017 AA (Class A)                
 4,918,007  g,i  Hilton Grand Vacations Trust      2.960   12/26/28   4,809 
       Series - 2017 AA (Class B)                
 7,100,000  g  Houston Galleria Mall Trust      3.087   03/05/37   6,842 
       Series - 2015 HGLR (Class A1A2)                
 1,750,000  g  Hyundai Auto Lease Securitization Trust      2.120   02/16/21   1,732 
       Series - 2017 C (Class A3)                
 3,750,000  g  Hyundai Auto Lease Securitization Trust      2.210   09/15/21   3,700 
       Series - 2017 C (Class A4)                
 945,315  i  Irwin Home Equity Corp  LIBOR 1 M + 0.760%   2.851   02/25/34   935 
       Series - 2005 A (Class A3)                
 8,961,070  g  JG Wentworth XXII LLC      3.820   12/15/48   9,053 
       Series - 2010 3A (Class A)                
 20,000,000     John Deere Owner Trust      2.110   07/15/24   19,592 
       Series - 2017 B (Class A4)                
 1,188,197  i  Lehman XS Trust  LIBOR 1 M + 0.250%   2.341   02/25/36   1,186 
       Series - 2006 1 (Class 1A1)                
 3,770,036  g  MVW Owner Trust      2.520   12/20/32   3,684 
       Series - 2015 1A (Class A)                
 10,087,704  g  MVW Owner Trust      2.420   12/20/34   9,836 
       Series - 2017 1A (Class A)                
 5,000,000  g  MVW Owner Trust      3.450   01/21/36   5,001 
       Series - 2018 1A (Class A)                
 7,000,000  g,i  Navistar Financial Dealer Note Master Owner Trust II  LIBOR 1 M + 1.350%   3.441   09/27/21   7,017 
       Series - 2016 1 (Class A)                
 21,362,247  g,i  New Residential Mortgage Loan Trust      4.000   02/25/57   21,538 
       Series - 2017 1A (Class A1)                
 8,131  g  OneMain Direct Auto Receivables Trust      2.040   01/15/21   8 
       Series - 2016 1A (Class A)                
 2,684,798  g  Orange Lake Timeshare Trust      3.100   11/08/30   2,658 
       Series - 2018 A (Class A)                
 4,000,000  g  Palisades Center Trust      3.357   04/13/33   3,920 
       Series - 2016 PLSD (Class B)                
 2,325,000  g  Pretium Mortgage Credit Partners I LLC (Step Bond)      5.000   03/27/33   2,314 
       Series - 2018 NPL2 (Class A2)                
 3,700,000  g  Pretium Mortgage Credit Partners I LLC (Step Bond)      4.125   08/27/33   3,700 
       Series - 2018 NPL3 (Class A1)                
 3,500,000     PSNH Funding LLC      3.506   08/01/28   3,512 
       Series - 2018 1 (Class A2)                
 17,822  i  Renaissance Home Equity Loan Trust  LIBOR 1 M + 0.880%   2.971   08/25/33   17 
       Series - 2003 2 (Class A)                
 3,246,500     Santander Drive Auto Receivables Trust      2.910   04/15/20   3,247 
       Series - 2014 1 (Class D)                
 9,000,000     Santander Drive Auto Receivables Trust      1.770   09/15/20   8,983 
       Series - 2017 1 (Class A3)                

360

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$3,500,000     Santander Drive Auto Receivables Trust      1.870%  12/15/20  $3,493 
       Series - 2017 2 (Class A3)                
 5,000,000     Santander Drive Auto Receivables Trust      1.870   06/15/21   4,970 
       Series - 2017 3 (Class A3)                
 491,562     Santander Drive Auto Receivables Trust      2.740   12/15/21   492 
       Series - 2015 5 (Class C)                
 6,000,000     Santander Drive Auto Receivables Trust      2.800   08/15/22   5,927 
       Series - 2016 3 (Class D)                
 8,000,000     Santander Drive Auto Receivables Trust      3.170   04/17/23   7,948 
       Series - 2017 1 (Class D)                
 12,500,000  g  Santander Retail Auto Lease Trust      2.370   01/20/22   12,325 
       Series - 2017 A (Class A4)                
 2,347,626  g  Sierra Receivables Funding Co LLC      2.700   10/20/30   2,345 
       Series - 2013 3A (Class B)                
 2,979,780  g,i  Sierra Receivables Funding Co LLC      2.050   06/20/31   2,966 
       Series - 2014 2A (Class A)                
 863,919  g,i  Sierra Receivables Funding Co LLC      2.400   06/20/31   861 
       Series - 2014 2A (Class B)                
 2,696,881  g  Sierra Receivables Funding Co LLC      2.400   03/22/32   2,676 
       Series - 2015 1A (Class A)                
 17,588,813  g  Sierra Receivables Funding Co LLC      2.910   03/20/34   17,435 
       Series - 2017 1A (Class A)                
 571,006  g  Sierra Receivables Funding Co LLC      3.200   03/20/34   560 
       Series - 2017 1A (Class B)                
 3,383,414  g  Sierra Timeshare Receivables Funding LLC      2.580   09/20/32   3,366 
       Series - 2015 3A (Class A)                
 4,081,142  g  Sierra Timeshare Receivables Funding LLC      3.080   09/20/32   4,058 
       Series - 2015 3A (Class B)                
 2,232,713  g  Sierra Timeshare Receivables Funding LLC      3.080   03/21/33   2,232 
       Series - 2016 1A (Class A)                
 7,149,298  g  Sierra Timeshare Receivables Funding LLC      2.330   07/20/33   7,057 
       Series - 2016 2A (Class A)                
 1,138,423  g  Sierra Timeshare Receivables Funding LLC      2.780   07/20/33   1,125 
       Series - 2016 2A (Class B)                
 5,186,153  g  Sierra Timeshare Receivables Funding LLC      2.430   10/20/33   5,115 
       Series - 2016 3A (Class A)                
 3,073,276  g  Sierra Timeshare Receivables Funding LLC      2.630   10/20/33   2,983 
       Series - 2016 3A (Class B)                
 6,367,888  g  SLM Student Loan Trust      3.740   02/15/29   6,397 
       Series - 2011 B (Class A2)                
 5,682,473  g  SMB Private Education Loan Trust      2.490   06/15/27   5,610 
       Series - 2015 A (Class A2A)                
 8,739,998  g  SMB Private Education Loan Trust      2.750   07/15/27   8,672 
       Series - 2015 C (Class A2A)                
 12,879,689  g  SMB Private Education Loan Trust      2.430   02/17/32   12,503 
       Series - 2016 B (Class A2A)                
 16,020,000  g  SMB Private Education Loan Trust      2.880   09/15/34   15,684 
       Series - 2017 A (Class A2A)                
 15,250,000  g  SMB Private Education Loan Trust      2.820   10/15/35   14,818 
       Series - 2017 B (Class A2A)                
 10,000,000  g  SMB Private Education Loan Trust      3.500   02/15/36   9,993 
       Series - 2018 A (Class A2A)                
 1,621,781  g  SoFi Professional Loan Program LLC      1.530   04/25/33   1,615 
       Series - 2016 D (Class A2A)                

361

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$16,220,000  g  SoFi Professional Loan Program LLC      2.340%  04/25/33  $15,836 
       Series - 2016 D (Class A2B)                
 15,150,000  g  SoFi Professional Loan Program LLC      2.490   01/25/36   14,887 
       Series - 2016 E (Class A2B)                
 3,016,151  g  SoFi Professional Loan Program LLC      2.760   12/26/36   2,981 
       Series - 2016 A (Class A2)                
 1,215,746  g  SoFi Professional Loan Program LLC      1.550   03/26/40   1,205 
       Series - 2017 A (Class A2A)                
 4,925,000  g  SoFi Professional Loan Program LLC      2.400   03/26/40   4,756 
       Series - 2017 A (Class A2B)                
 10,732,937  g  SoFi Professional Loan Program LLC      1.830   05/25/40   10,665 
       Series - 2017 B (Class A1FX)                
 13,050,000  g  SoFi Professional Loan Program LLC      2.740   05/25/40   12,859 
       Series - 2017 B (Class A2FX)                
 4,000,000  g  SoFi Professional Loan Program LLC      2.630   07/25/40   3,927 
       Series - 2017 C (Class A2B)                
 10,556,000  g  SoFi Professional Loan Program LLC      2.720   11/26/40   10,242 
       Series - 2017 E (Class A2B)                
 13,500,000  g  SoFi Professional Loan Program LLC      2.840   01/25/41   13,177 
       Series - 2017 F (Class A2FX)                
 21,000,000  g  SoFi Professional Loan Program LLC      2.950   02/25/42   20,551 
       Series - 2018 A (Class A2B)                
 3,547,739  g  SolarCity LMC      4.590   04/20/44   3,536 
       Series - 2014 1 (Class A)                
 33,765,285  g  SpringCastle America Funding LLC      3.050   04/25/29   33,642 
       Series - 2016 AA (Class A)                
 3,000,000  g  SpringCastle America Funding LLC      4.100   10/25/33   2,973 
       Series - 2016 AA (Class B)                
 14,000,000     Synchrony Credit Card Master Note Trust      2.620   10/15/25   13,626 
       Series - 2017 2 (Class A)                
 13,051,250  g  Taco Bell Funding LLC      3.832   05/25/46   13,067 
       Series - 2016 1A (Class A2I)                
 11,945,410  g  TLF National Tax Lien Trust      3.090   12/15/29   11,938 
       Series - 2017 1A (Class A)                
 12,548,000     UBS Commercial Mortgage Trust      3.256   06/15/50   12,309 
       Series - 2017 C1 (Class ASB)                
 2,000,000     UBS Commercial Mortgage Trust      3.366   10/15/50   1,987 
       Series - 2017 C4 (Class ASB)                
 3,000,000  g  Verizon Owner Trust      2.060   09/20/21   2,966 
       Series - 2017 1A (Class A)                
 21,500,000  g  Verizon Owner Trust      1.920   12/20/21   21,196 
       Series - 2017 2A (Class A)                
 7,354,617  g  VOLT LXII LLC (Step Bond)      3.125   09/25/47   7,294 
       Series - 2017 NPL9 (Class A1)                
 1,381,266  g  VOLT LXV LLC (Step Bond)      3.750   04/25/48   1,380 
       Series - 2018 NPL1 (Class A1)                
 1,890,000  g  Vornado DP LLC      5.280   09/13/28   1,982 
       Series - 2010 VNO (Class C)                
 406,876  g  Wachovia Amortization Controlled Heloc NIM      5.683   08/12/47   399 
       Series - 2006 N1 (Class N1)                
 282,067  g,i  Wachovia Loan Trust  LIBOR 1 M + 0.360%   2.451   05/25/35   282 
       Series - 2005 SD1 (Class A)                

362

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$38,805,000  g  Wendys Funding LLC      3.573%  03/15/48  $37,739 
       Series - 2018 1A (Class A2I)                
 4,975,000  g  Wendys Funding LLC      3.884   03/15/48   4,868 
       Series - 2018 1A (Class A2II)                
 3,000,000     World Financial Network Credit Card Master Trust      2.030   04/15/25   2,907 
       Series - 2016 A (Class A)                
 3,000,000     World Omni Auto Receivables Trust      2.240   06/15/23   2,944 
       Series - 2017 A (Class A4)                
 9,000,000     World Omni Auto Receivables Trust      2.250   10/16/23   8,767 
       Series - 2017 B (Class A4)                
 5,932,000     World Omni Automobile Lease Securitization Trust      1.610   01/15/22   5,884 
       Series - 2016 A (Class A4)                
 7,000,000  g,i  Worldwide Plaza Trust      3.715   11/10/36   6,804 
       Series - 2017 WWP (Class B)                
       TOTAL ASSET BACKED              1,206,398 
                        
OTHER MORTGAGE BACKED - 9.7%
 25,000,000  g,i  20 TSQ GROUNDCO LLC      3.203   05/15/35   23,546 
       Series - 2018 20TS (Class E)                
 2,795,236  g  Banc of America Commercial Mortgage Trust      5.416   01/15/49   2,804 
       Series - 2007 1 (Class AM)                
 2,000,000  g,i  Banc of America Commercial Mortgage Trust      6.038   02/10/51   1,983 
       Series - 2007 5 (Class B)                
 1,160,000  g,i  Banc of America Commercial Mortgage Trust      6.095   02/10/51   1,175 
       Series - 2007 4 (Class E)                
 1,073,429  g,i  Banc of America Commercial Mortgage Trust      6.095   02/10/51   1,080 
       Series - 2007 4 (Class D)                
 4,056,054  i  Banc of America Commercial Mortgage Trust      6.268   02/10/51   4,155 
       Series - 2007 5 (Class AJ)                
 15,000,000     BANK      3.419   05/15/50   14,887 
       Series - 2017 BNK4 (Class ASB)                
 5,500,000     BANK      3.314   11/15/50   5,411 
       Series - 2017 BNK8 (Class ASB)                
 15,000,000     BBCMS Mortgage Trust      3.488   02/15/50   14,982 
       Series - 2017 C1 (Class ASB)                
 7,698,000     CCUBS Commercial Mortgage Trust      3.462   11/15/50   7,630 
       Series - 2017 C1 (Class ASB)                
 4,500,000     CD Mortgage Trust      2.622   08/10/49   4,286 
       Series - 2016 CD1 (Class ASB)                
 12,500,000     CD Mortgage Trust      2.926   08/10/49   11,701 
       Series - 2016 CD1 (Class AM)                
 10,000,000     CD Mortgage Trust      3.220   08/15/50   9,780 
       Series - 2017 CD5 (Class AAB)                
 5,000,000     CD Mortgage Trust      3.332   11/13/50   4,945 
       Series - 2017 CD6 (Class ASB)                
 8,000,000  g  CGBAM Commercial Mortgage Trust      3.516   04/10/28   7,965 
       Series - 2015 SMRT (Class C)                
 9,000,000  g  CGBAM Commercial Mortgage Trust      3.768   04/10/28   8,965 
       Series - 2015 SMRT (Class D)                
 5,000,000     CGMS Commercial Mortgage Trust      3.243   08/15/50   4,902 
       Series - 2017 B1 (Class AAB)                
 3,624,173  i  CHL Mortgage Pass-Through Trust      3.585   02/20/35   3,661 
       Series - 2004 HYB9 (Class 1A1)                

363

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$3,000,000  g  Citigroup Commercial Mortgage Trust      2.228%  09/10/31  $     2,905 
       Series - 2016 SMPL (Class A)                
 2,500,000  g  Citigroup Commercial Mortgage Trust      2.576   09/10/31   2,422 
       Series - 2016 SMPL (Class B)                
 2,987,988     Citigroup Commercial Mortgage Trust      1.506   05/10/49   2,933 
       Series - 2016 C1 (Class A1)                
 6,500,000     Citigroup Commercial Mortgage Trust      3.003   05/10/49   6,361 
       Series - 2016 C1 (Class AAB)                
 10,000,000     Citigroup Commercial Mortgage Trust      3.268   09/15/50   9,834 
       Series - 2017 P8 (Class AAB)                
 6,765,000     Citigroup Commercial Mortgage Trust      3.764   10/12/50   6,683 
       Series - 2017 C4 (Class AS)                
 8,012,221  i  COBALT CMBS Commercial Mortgage Trust      6.015   05/15/46   8,171 
       Series - 2007 C3 (Class AJ)                
 5,000,000  g  COMM Mortgage Trust      3.244   10/10/29   4,876 
       Series - 2017 PANW (Class A)                
 6,545,000  g  COMM Mortgage Trust      4.353   08/10/30   6,777 
       Series - 2013 300P (Class A1)                
 4,000,000  g  COMM Mortgage Trust      3.397   03/10/46   3,915 
       Series - 2013 CR6 (Class B)                
 4,325,000  g,i  COMM Mortgage Trust      4.950   08/10/46   4,514 
       Series - 2013 CR10 (Class B)                
 381,270     COMM Mortgage Trust      1.399   02/10/48   378 
       Series - 2015 LC19 (Class A1)                
 16,702,470     COMM Mortgage Trust      3.183   02/10/48   16,301 
       Series - 2015 LC19 (Class A4)                
 14,500,000     COMM Mortgage Trust      3.421   07/10/48   14,542 
       Series - 2015 LC21 (Class ASB)                
 2,217,849     COMM Mortgage Trust      1.667   07/10/50   2,206 
       Series - 2015 PC1 (Class A1)                
 12,000,000     COMM Mortgage Trust      4.228   05/10/51   12,409 
       Series - 2018 COR3 (Class A3)                
 3,129,016  i  Connecticut Avenue Securities  LIBOR 1 M + 2.150%   4.241   09/25/28   3,147 
       Series - 2016 C02 (Class 1M1)                
 5,201,465  i  Connecticut Avenue Securities  LIBOR 1 M + 1.350%   3.441   01/25/29   5,223 
       Series - 2016 C05 (Class 2M1)                
 25,049,371  i  Connecticut Avenue Securities  LIBOR 1 M + 1.450%   3.541   01/25/29   25,243 
       Series - 2016 C04 (Class 1M1)                
 13,908,384  i  Connecticut Avenue Securities  LIBOR 1 M + 1.300%   3.391   04/25/29   14,028 
       Series - 2016 C06 (Class 1M1)                
 10,383,320  i  Connecticut Avenue Securities  LIBOR 1 M + 1.300%   2.165   07/25/29   10,461 
       Series - 2017 C01 (Class 1M1)                
 20,171,697  i  Connecticut Avenue Securities  LIBOR 1 M + 0.950%   3.041   10/25/29   20,285 
       Series - 2017 C03 (Class 1M1)                
 10,871,575  i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   2.941   11/25/29   10,904 
       Series - 2017 C04 (Class 2M1)                
 79,361  i  Connecticut Avenue Securities  LIBOR 1 M + 0.750%   2.841   02/25/30   79 
       Series - 2017 C06 (Class 1M1)                
 61,628,513  i  Connecticut Avenue Securities  LIBOR 1 M + 0.600%   2.691   07/25/30   61,546 
       Series - 2018 C01 (Class 1M1)                
 15,497,945  i  Connecticut Avenue Securities  LIBOR 1 M + 0.680%   2.771   10/25/30   15,493 
       Series - 2018 C03 (Class 1M1)                
 4,760,000  †,i  Connecticut Avenue Securities  LIBOR 1 M + 0.750%   2.852   12/25/30   4,760 
       Series - 2018 C04 (Class 2M1)                

364

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$6,144,500  g,i  Credit Suisse Commercial Mortgage Trust      5.751%  01/15/49  $6,259 
       Series - 2007 C2 (Class B)                
 4,689,000  g,i  Credit Suisse Commercial Mortgage Trust      5.897   01/15/49   5,973 
       Series - 2007 C2 (Class C)                
 11,500,000  g  Credit Suisse Mortgage Capital Certificates      5.626   05/15/23   11,783 
       Series - 2006 OMA (Class D)                
 5,500,000     CSAIL Commercial Mortgage Trust      3.314   11/15/49   5,436 
       Series - 2016 C7 (Class ASB)                
 14,580,000     CSAIL Commercial Mortgage Trust      3.186   06/15/50   14,222 
       Series - 2017 C8 (Class ASB)                
 5,319,930     CSAIL Commercial Mortgage Trust      1.454   06/15/57   5,283 
       Series - 2015 C2 (Class A1)                
 7,400,000  g,i  CSMC Trust      3.854   11/10/32   7,337 
       Series - 2017 CALI (Class B)                
 11,000,000     DBJPM Mortgage Trust      2.756   09/10/49   10,600 
       Series - 2016 C3 (Class ASB)                
 10,000,000     DBJPM Mortgage Trust      3.121   06/10/50   9,720 
       Series - 2017 C6 (Class ASB)                
 11,000,000  g  DBUBS Mortgage Trust      3.452   10/10/34   10,921 
       Series - 2017 BRBK (Class A)                
 15,500,000  g,i  DBUBS Mortgage Trust      3.648   10/10/34   15,315 
       Series - 2017 BRBK (Class B)                
 5,052,390  g  DBUBS Mortgage Trust      4.452   05/10/44   5,150 
       Series - 2011 LC3A (Class PM1)                
 23,998,177  g  DBUBS Mortgage Trust      4.537   07/10/44   24,768 
       Series - 2011 LC2A (Class A4)                
 3,000,000  g,i  DBUBS Mortgage Trust      4.998   07/10/44   3,097 
       Series - 2011 LC2A (Class B)                
 5,000,000  g,i  DBUBS Mortgage Trust      5.719   07/10/44   5,213 
       Series - 2011 LC2A (Class C)                
 2,084,000  g,i  DBUBS Mortgage Trust      5.515   08/10/44   2,167 
       Series - 2011 LC3A (Class B)                
 9,800,000  g,i  DBUBS Mortgage Trust      5.515   08/10/44   10,267 
       Series - 2011 LC3A (Class AM)                
 5,525,000  g,i  DBUBS Mortgage Trust      5.884   11/10/46   5,778 
       Series - 2011 LC1A (Class C)                
 8,445,355  g,i  Flagstar Mortgage Trust      3.500   03/25/47   8,334 
       Series - 2017 1 (Class 1A5)                
 19,612,794  g,i  Flagstar Mortgage Trust      4.000   05/25/48   19,554 
       Series - 2018 3INV (Class A3)                
 4,821,389  g  Four Times Square Trust Commercial Mortgage Pass-Through Certificates      5.401   12/13/28   5,052 
       Series - 2006 4TS (Class A)                
 3,665,000  i  GMAC Commercial Mortgage Securities, Inc      4.984   12/10/41   3,664 
       Series - 2004 C3 (Class C)                
 10,000,000  g  GRACE Mortgage Trust      3.369   06/10/28   10,044 
       Series - 2014 GRCE (Class A)                
 5,000,000  g  GRACE Mortgage Trust      3.520   06/10/28   4,988 
       Series - 2014 GRCE (Class B)                
 3,298,087  i  Greenwich Capital Commercial Funding Corp      5.951   07/10/38   3,299 
       Series - 2006 GG7 (Class AM)                

365

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$15,943,000  g  GS Mortgage Securities Corp II      3.551%  04/10/34  $16,065 
       Series - 2012 ALOH (Class A)                
 4,430,000  g  GS Mortgage Securities Corp II      2.954   11/05/34   4,321 
       Series - 2012 BWTR (Class A)                
 5,910,000  g,i  GS Mortgage Securities Corp II      5.355   12/10/43   6,120 
       Series - 2010 C2 (Class B)                
 8,455,000     GS Mortgage Securities Trust      3.506   10/10/48   8,392 
       Series - 2015 GC34 (Class A4)                
 10,000,000     GS Mortgage Securities Trust      2.777   10/10/49   9,687 
       Series - 2016 GS3 (Class AAB)                
 12,000,000     GS Mortgage Securities Trust      3.230   05/10/50   11,785 
       Series - 2017 GS6 (Class AAB)                
 3,000,000  g  Hudson Yards Mortgage Trust      2.835   08/10/38   2,813 
       Series - 2016 10HY (Class A)                
 2,500,000  g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   2,347 
       Series - 2016 10HY (Class B)                
 7,250,000  g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   6,725 
       Series - 2016 10HY (Class C)                
 777,800  i  Impac CMB Trust  LIBOR 1 M + 0.660%   2.751   03/25/35   746 
       Series - 2004 11 (Class 2A1)                
 25,850,000  g  JP Morgan Chase Commercial Mortgage Securities Trust      4.717   02/15/46   26,669 
       Series - 2011 C3 (Class A4)                
 10,975,000  g,i  JP Morgan Chase Commercial Mortgage Securities Trust      5.360   02/15/46   11,254 
       Series - 2011 C3 (Class C)                
 96,424  g  JP Morgan Chase Commercial Mortgage Securities Trust      4.106   07/15/46   96 
       Series - 2011 C4 (Class A3)                
 17,250,000  g  JP Morgan Chase Commercial Mortgage Securities Trust      4.388   07/15/46   17,717 
       Series - 2011 C4 (Class A4)                
 15,000,000  g  JP Morgan Chase Commercial Mortgage Securities Trust      4.801   07/15/46   15,525 
       Series - 2011 C4 (Class B)                
 6,455,000  g,i  JP Morgan Chase Commercial Mortgage Securities Trust      5.522   07/15/46   6,752 
       Series - 2011 C4 (Class C)                
 7,000,000     JP Morgan Chase Commercial Mortgage Securities Trust      2.713   08/15/49   6,748 
       Series - 2016 JP2 (Class ASB)                
 25,881,177  i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.160%   2.251   06/25/37   25,423 
       Series - 2007 CH5 (Class A1)                
 1,659,331  g,i  JP Morgan Mortgage Trust      3.500   05/25/45   1,615 
       Series - 2015 3 (Class A19)                
 8,513,742  g,i  JP Morgan Mortgage Trust      3.500   10/25/45   8,285 
       Series - 2015 6 (Class A13)                
 3,323,628  g,i  JP Morgan Mortgage Trust      3.500   05/25/46   3,232 
       Series - 2016 1 (Class A13)                
 614,480  g,i  JP Morgan Mortgage Trust      3.500   01/25/47   607 
       Series - 2017 1 (Class A3)                
 14,055,067  g,i  JP Morgan Mortgage Trust      3.500   05/25/47   13,783 
       Series - 2017 2 (Class A3)                
 2,051,447  g,i  JP Morgan Mortgage Trust      3.500   05/25/47   2,008 
       Series - 2017 2 (Class A13)                
 1,048,641  g,i  JP Morgan Mortgage Trust      3.500   08/25/47   1,036 
       Series - 2017 3 (Class 1A5)                

366

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                        
$7,255,000  g,i  JP Morgan Mortgage Trust      3.500%  12/25/48  $7,168 
       Series - 2018 6 (Class 1A3)                
 5,000,000     JPMBB Commercial Mortgage Securities Trust      3.997   08/15/47   5,040 
       Series - 2014 C21 (Class AS)                
 2,000,000  i  JPMBB Commercial Mortgage Securities Trust      4.601   09/15/47   2,051 
       Series - 2014 C23 (Class B)                
 2,200,000     JPMCC Commercial Mortgage Securities Trust      3.241   09/15/50   2,151 
       Series - 2017 JP7 (Class ASB)                
 6,148,000     JPMDB Commercial Mortgage Securities Trust      3.492   03/15/50   6,109 
       Series - 2017 C5 (Class ASB)                
 12,404,000     JPMDB Commercial Mortgage Securities Trust      3.242   10/15/50   12,122 
       Series - 2017 C7 (Class ASB)                
 426,899  g  LB-UBS Commercial Mortgage Trust      6.114   07/15/40   427 
       Series - 2007 C6 (Class AMFL)                
 44,315  i  LB-UBS Commercial Mortgage Trust      6.114   07/15/40   44 
       Series - 2007 C6 (Class AM)                
 15,000,000  g  LCCM      3.357   07/12/50   14,860 
       Series - 2017 LC26 (Class ASB)                
 5,880,000  g,i  Merrill Lynch Mortgage Trust      6.594   02/12/51   5,861 
       Series - 2008 C1 (Class C)                
 2,954,811     Morgan Stanley Bank of America Merrill Lynch Trust      2.469   02/15/46   2,913 
       Series - 2013 C7 (Class AAB)                
 2,000,000  i  Morgan Stanley Bank of America Merrill Lynch Trust      4.900   11/15/46   2,087 
       Series - 2013 C13 (Class B)                
 4,313,612     Morgan Stanley Bank of America Merrill Lynch Trust      3.194   10/15/47   4,334 
       Series - 2014 C18 (Class A2)                
 1,600,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.605   02/15/48   1,588 
       Series - 2015 C20 (Class AS)                
 1,424,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.652   03/15/48   1,408 
       Series - 2015 C21 (Class AS)                
 5,000,000  g  Morgan Stanley Capital I Trust      2.695   01/11/32   4,957 
       Series - 2013 WLSR (Class A)                
 2,550,000  g  Morgan Stanley Capital I Trust      4.012   09/09/32   2,565 
       Series - 2014 150E (Class AS)                
 3,500,000  g  Morgan Stanley Capital I Trust      4.264   09/09/32   3,550 
       Series - 2014 150E (Class B)                
 3,745,801  i  Morgan Stanley Capital I Trust      5.389   11/12/41   3,734 
       Series - 2006 HQ10 (Class AJ)                
 3,450,000  g,i  Morgan Stanley Capital I Trust      5.599   09/15/47   3,556 
       Series - 2011 C1 (Class D)                
 3,517,109  i  Morgan Stanley Capital I Trust      6.285   06/11/49   3,553 
       Series - 2007 IQ15 (Class AJ)                
 6,203,028  i  Morgan Stanley Capital I Trust      6.376   12/12/49   4,699 
       Series - 2007 IQ16 (Class AJ)                
 4,231,261  i  Morgan Stanley Capital I Trust      6.376   12/12/49   3,205 
       Series - 2007 IQ16 (Class AJFX)                

367

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$12,000,000     Morgan Stanley Capital I Trust      3.304%  06/15/50  $11,864 
       Series - 2017 H1 (Class ASB)                
 20,131     Morgan Stanley Capital I Trust      4.770   07/15/56   20 
       Series - 0 IQ9 (Class AJ)                
 2,270,412  g,i  Sequoia Mortgage Trust      3.500   11/25/46   2,255 
       Series - 2016 3 (Class A10)                
 6,438,658  g,i  Sequoia Mortgage Trust      3.500   02/25/47   6,366 
       Series - 2017 2 (Class A4)                
 11,330,142  g,i  Sequoia Mortgage Trust      3.500   04/25/47   11,284 
       Series - 2017 3 (Class A4)                
 4,340,165  g,i  Sequoia Mortgage Trust      3.500   08/25/47   4,299 
       Series - 2017 5 (Class A4)                
 8,818,011  g,i  Sequoia Mortgage Trust      3.500   05/25/48   8,727 
       Series - 2018 5 (Class A4)                
 4,474,137  g,i  Sequoia Mortgage Trust      4.000   06/25/48   4,489 
       Series - 2018 CH2 (Class A21)                
 6,500,000  g  Sequoia Mortgage Trust      4.000   07/25/48   6,544 
       Series - 2018 6 (Class A4)                
 1,522,823  i  Shellpoint Co Originator Trust      3.500   11/21/46   1,509 
       Series - 2016 1 (Class 1A10)                
 3,257,547  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 2.200%   4.291   09/25/24   3,356 
       Series - 2014 HQ2 (Class M2)                
 13,515,970  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 1.950%   4.041   05/25/25   13,870 
       Series - 2015 HQ2 (Class M2)                
 1,211,375  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 2.200%   4.291   10/25/28   1,226 
       Series - 2016 DNA2 (Class M2)                
 2,434,282  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 0.800%   2.891   03/25/29   2,436 
       Series - 2016 DNA4 (Class M1)                
 2,750,000  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 1.300%   3.391   03/25/29   2,779 
       Series - 2016 DNA4 (Class M2)                
 10,294,480  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 1.200%   3.291   07/25/29   10,375 
       Series - 2017 DNA1 (Class M1)                
 11,723,733  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 1.200%   3.291   10/25/29   11,854 
       Series - 2017 DNA2 (Class M1)                
 2,292,990  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 0.800%   1.959   12/25/29   2,297 
       Series - 2017 HQA2 (Class M1)                
 40,939,102  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 0.750%   2.841   03/25/30   41,040 
       Series - 2017 DNA3 (Class M1)                
 5,300,000  g,i  Structured Agency Credit Risk Debt Note (STACR)      3.820   05/25/48   5,302 
       Series - 2018 SPI2 (Class M1)                
 3,174,940  g  VSE VOI Mortgage LLC      2.540   07/20/33   3,105 
       Series - 2016 A (Class A)                
 2,434,990  g  VSE VOI Mortgage LLC      2.740   07/20/33   2,386 
       Series - 2016 A (Class B)                
 8,166,274  g  VSE VOI Mortgage LLC      2.330   03/20/35   7,920 
       Series - 2017 A (Class A)                
 3,328,000  i  Wachovia Bank Commercial Mortgage Trust      6.214   05/15/46   3,386 
       Series - 2007 C34 (Class B)                
 4,573,599  i  Wachovia Bank Commercial Mortgage Trust      6.309   05/15/46   4,651 
       Series - 2007 C34 (Class AJ)                
 2,595,000  i  Wachovia Bank Commercial Mortgage Trust      6.384   05/15/46   2,651 
       Series - 2007 C34 (Class C)                
 4,485,015  i  Wachovia Bank Commercial Mortgage Trust      5.660   04/15/47   4,502 
       Series - 2007 C31 (Class AJ)                
 3,512,315  i  Wachovia Bank Commercial Mortgage Trust      6.057   06/15/49   3,547 
       Series - 2007 C32 (Class AJ)                

368

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

         REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                        
$16,762,935  i  Wachovia Bank Commercial Mortgage Trust      6.209%  02/15/51  $17,190 
       Series - 2007 C33 (Class AM)                
 10,000,000     Wells Fargo Commercial Mortgage Trust      3.539   10/15/45   10,073 
       Series - 2012 LC5 (Class AS)                
 7,500,000     Wells Fargo Commercial Mortgage Trust      3.290   05/15/48   7,380 
       Series - 2015 C28 (Class A3)                
 2,662,902     Wells Fargo Commercial Mortgage Trust      1.392   07/15/48   2,609 
       Series - 2016 C35 (Class A1)                
 10,000,000     Wells Fargo Commercial Mortgage Trust      2.788   07/15/48   9,679 
       Series - 2016 C35 (Class ASB)                
 689,694     Wells Fargo Commercial Mortgage Trust      1.321   08/15/49   671 
       Series - 2016 BNK1 (Class A1)                
 15,000,000     Wells Fargo Commercial Mortgage Trust      2.514   08/15/49   14,322 
       Series - 2016 BNK1 (Class ASB)                
 15,000,000     Wells Fargo Commercial Mortgage Trust      2.825   10/15/49   14,521 
       Series - 2016 LC24 (Class ASB)                
 8,389,000     Wells Fargo Commercial Mortgage Trust      2.827   11/15/49   8,116 
       Series - 2016 NXS6 (Class ASB)                
 7,500,000     Wells Fargo Commercial Mortgage Trust      3.446   03/15/50   7,454 
       Series - 2017 RB1 (Class ASB)                
 15,000,000     Wells Fargo Commercial Mortgage Trust      3.261   07/15/50   14,743 
       Series - 2017 C38 (Class ASB)                
 10,000,000     Wells Fargo Commercial Mortgage Trust      3.212   09/15/50   9,789 
       Series - 2017 C39 (Class ASB)                
 7,250,000     Wells Fargo Commercial Mortgage Trust      3.185   03/15/59   7,162 
       Series - 2016 C33 (Class ASB)                
 6,000,000     Wells Fargo Commercial Mortgage Trust      3.749   03/15/59   5,967 
       Series - 2016 C33 (Class AS)                
 500,000     Wells Fargo Commercial Mortgage Trust      2.933   11/15/59   486 
       Series - 2016 C36 (Class ASB)                
 4,725,000  g,i  Wells Fargo Mortgage Backed Securities Trust      5.276   11/15/43   4,877 
       Series - 2010 C1 (Class B)                
 1,624,062  g,i  WFCG Commercial Mortgage Trust  LIBOR 1 M + 1.122%   3.195   11/15/29   1,624 
       Series - 2015 BXRP (Class A)                
 30,000,000  g,i  WFRBS Commercial Mortgage Trust      4.902   06/15/44   31,203 
       Series - 2011 C4 (Class A4)                
 750,000     WFRBS Commercial Mortgage Trust      3.345   05/15/45   736 
       Series - 2013 C13 (Class AS)                
 4,000,000  i  WFRBS Commercial Mortgage Trust      4.079   03/15/46   4,127 
       Series - 2013 UBS1 (Class A4)                
       TOTAL OTHER MORTGAGE BACKED              1,288,980 
                        
       TOTAL STRUCTURED ASSETS              2,495,378 
       (Cost $2,546,686)                
                        
       TOTAL BONDS              12,947,225 
       (Cost $13,192,181)                
369

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                MATURITY  VALUE 
SHARES     COMPANY     RATE  DATE  (000) 
                        
PREFERRED STOCKS - 0.1%
 
BANKS - 0.1%                   
 470,597  *  Federal Home Loan Mortgage Corp             $2,941 
 1,527,061  *  Federal National Mortgage Association              9,651 
       TOTAL BANKS              12,592 
                        
       TOTAL PREFERRED STOCKS              12,592 
       (Cost $49,942)                
                        
PRINCIPAL     ISSUER                
                        
SHORT-TERM INVESTMENTS - 0.8%
                        
GOVERNMENT AGENCY DEBT - 0.1%
$9,818,000     Federal Agricultural Mortgage Corp (FAMC)      1.630%  07/02/18   9,818 
       TOTAL GOVERNMENT AGENCY DEBT           9,818 
                        
TREASURY DEBT - 0.7%
NGN550,000,000  j  Nigeria Treasury Bill      0.000   08/02/18   1,505 
$25,775,000     United States Treasury Bill      1.740   07/05/18   25,772 
 18,000,000     United States Treasury Bill      1.751   07/12/18   17,992 
 6,970,000     United States Treasury Bill      1.806   08/02/18   6,958 
 39,100,000     United States Treasury Bill      1.785   08/16/18   39,011 
       TOTAL TREASURY DEBT              91,238 
                        
       TOTAL SHORT-TERM INVESTMENTS              101,056 
       (Cost $101,037)                
                        
       TOTAL INVESTMENTS - 97.9%              13,080,533 
       (Cost $13,362,956)                
       OTHER ASSETS & LIABILITIES, NET - 2.1%           284,598 
       NET ASSETS - 100.0%             $13,365,131 
          
     
    Abbreviation(s):
                                          AUD Australian Dollar
    BRL Brazilian Real
    CAD Canadian Dollar
    DOP Dominican Republic Peso
    EUR Euro
    GBP Pound Sterling
    IDR Indonesian Rupiah
    ILS Israeli New Shekel
    JPY Japanese Yen
    KRW South Korean Won
    LIBOR London Interbank Offered Rates
    M Month
370

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

                                          MXN Mexican Peso
    NGN Nigerian Naira
    NOK Norwegian Krone
    NZD New Zealand Dollar
    PEN Peruvian Sol
    PLN Polish Zloty
    REIT Real Estate Investment Trust
    RUB Russian Ruble
    SEK Swedish Krona
    SGD Singapore Dollar
    THB Thai Baht
    UYU Uruguayan Peso
    W Week
    ZAR South African Rand
       
^   Amount represents less than $1,000.
*   Non-income producing
  Security is categorized as Level 3 in the fair value hierarchy.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/18, the aggregate value of these securities was $2,347,219,000 or 17.6% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
j   Zero coupon
k   Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.
m   Indicates a security that has been deemed illiquid.
o   Payment in Kind Bond
q   In default
     
    Cost amounts are in thousands.
                                                
     

 

Forward foreign currency contracts outstanding as of June 30, 2018 were as follows (dollar amounts are in thousands) (see Note 3):

 

Currency to be purchased  Receive  Currency to be sold  Deliver  Counterparty  Settlement date   Unrealized appreciation (depreciation) 
$  7,058  AUD  9,554  Bank of America  7/31/2018  $(14)
$  548  NZD  804  Bank of America  7/31/2018   4 
$  2,987  SGD  4,071  Bank of America  7/31/2018   (3)
EUR  1,064  $  1,241  Bank of America  7/3/2018   2 
$  1,017  ZAR  14,021  Bank of America  7/31/2018   (1)
Total                 $(12)
$  78,712  EUR  67,372  Citibank N.A.  7/31/2018  $(141)
$  2,307  PLN  8,606  Citibank N.A.  7/31/2018   8 
Total                 $(133)
$  34,744  JPY  3,820,023  Goldman Sachs  7/31/2018  $170 
Total                 $170 
$  7,079  CAD  9,408  Morgan Stanley  7/31/2018  $(81)
$  584  SEK  5,187  Morgan Stanley  7/31/2018   3 
Total                 $(78)
$  21,328  GBP  16,171  Toronto Dominion Bank  7/31/2018  $(44)
$  7,562  KRW  8,434,871  Toronto Dominion Bank  7/31/2018   (16)
$  1,628  NOK  13,261  Toronto Dominion Bank  7/31/2018   (2)
$  1,143  THB  37,737  Toronto Dominion Bank  7/31/2018   3 
Total                 $(59)
Total                 $(112)
371

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

     
     
  Abbreviation(s):
  AUD Australian Dollar
  CAD Canadian Dollar
  EUR Euro
  GBP Pound Sterling
  JPY Japanese Yen
  KRW South Korean Won
  NOK Norwegian Krone
  NZD New Zealand Dollar
  PLN Polish Zloty
  SEK Swedish Krona
  SGD Singapore Dollar
  THB Thailand Baht
  ZAR South African Rand
372

COLLEGE RETIREMENT EQUITIES FUND - Inflation-Linked Bond Account

 

 

COLLEGE RETIREMENT EQUITIES FUND

INFLATION-LINKED BOND ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2018

 

               MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
                         
GOVERNMENT BONDS - 99.5%
                         
AGENCY SECURITIES - 0.7%
$16,280,000     Montefiore Medical Center       2.895%  04/20/32  $15,386 
 3,500,000     Private Export Funding Corp (PEFCO)       2.300   09/15/20   3,458 
 3,000,000     PEFCO       3.255   06/15/25   3,025 
 5,263,158     Reliance Industries Ltd       2.444   01/15/26   5,153 
 3,500,000     Ukraine Government AID Bonds       1.847   05/29/20   3,450 
 15,000,000     Ukraine Government AID Bonds       1.471   09/29/21   14,399 
       TOTAL AGENCY SECURITIES               44,871 
                         
MORTGAGE BACKED - 0.2%
 12,598,315     Government National Mortgage Association (GNMA)       3.650   02/15/32   12,622 
       TOTAL MORTGAGE BACKED               12,622 
                         
U.S. TREASURY SECURITIES - 98.6%
 161,373,478  k  United States Treasury Inflation Indexed Bonds       1.375   01/15/20   163,194 
 408,105,810  k  United States Treasury Inflation Indexed Bonds       0.125   04/15/20   403,766 
 254,584,165  k  United States Treasury Inflation Indexed Bonds       1.250   07/15/20   258,733 
 344,633,479  k  United States Treasury Inflation Indexed Bonds       1.125   01/15/21   349,124 
 346,692,720  k  United States Treasury Inflation Indexed Bonds       0.125   04/15/21   341,337 
 356,565,992  k  United States Treasury Inflation Indexed Bonds       0.625   07/15/21   357,923 
 360,801,184  k  United States Treasury Inflation Indexed Bonds       0.125   01/15/22   354,659 
 287,910,155  k  United States Treasury Inflation Indexed Bonds       0.125   04/15/22   282,019 
 378,007,920  k  United States Treasury Inflation Indexed Bonds       0.125   07/15/22   371,745 
 324,507,690  k  United States Treasury Inflation Indexed Bonds       0.125   01/15/23   317,236 
 189,101,250  k  United States Treasury Inflation Indexed Bonds       0.625   04/15/23   188,771 
 220,138,115  k  United States Treasury Inflation Indexed Bonds       0.375   07/15/23   218,140 
 136,620,690  k  United States Treasury Inflation Indexed Bonds       0.625   01/15/24   136,442 
 118,690,875  k  United States Treasury Inflation Indexed Bonds       0.125   07/15/24   115,376 
 172,400,210  k  United States Treasury Inflation Indexed Bonds       0.250   01/15/25   167,680 
 262,158,540  k  United States Treasury Inflation Indexed Bonds       2.375   01/15/25   290,685 
 114,089,040  k  United States Treasury Inflation Indexed Bonds       0.375   07/15/25   112,066 
 154,982,100  k  United States Treasury Inflation Indexed Bonds       0.625   01/15/26   154,120 
 234,542,740  d,k  United States Treasury Inflation Indexed Bonds       2.000   01/15/26   256,966 
 133,772,800  k  United States Treasury Inflation Indexed Bonds       0.125   07/15/26   128,139 
 168,523,875  k  United States Treasury Inflation Indexed Bonds       0.375   01/15/27   163,711 
 169,191,726  k  United States Treasury Inflation Indexed Bonds       2.375   01/15/27   192,406 
 108,042,550  k  United States Treasury Inflation Indexed Bonds       0.375   07/15/27   105,094 
 181,284,600  k  United States Treasury Inflation Indexed Bonds       0.500   01/15/28   177,327 
 206,154,196  k  United States Treasury Inflation Indexed Bonds       1.750   01/15/28   225,217 
 100,714,622  k  United States Treasury Inflation Indexed Bonds       3.625   04/15/28   127,830 
 184,239,299  k  United States Treasury Inflation Indexed Bonds       2.500   01/15/29   216,448 
373

COLLEGE RETIREMENT EQUITIES FUND - Inflation-Linked Bond Account

 

               MATURITY  VALUE 
PRINCIPAL     ISSUER     RATE  DATE  (000) 
$150,999,287  k  United States Treasury Inflation Indexed Bonds       3.875%  04/15/29  $199,028 
       TOTAL U.S. TREASURY SECURITIES               6,375,182 
                         
       TOTAL GOVERNMENT BONDS               6,432,675 
       (Cost $6,322,141)                 
                         
SHORT-TERM INVESTMENTS - 0.2%
 
GOVERNMENT AGENCY DEBT - 0.2%
 11,750,000     Federal Home Loan Bank (FHLB)       1.630   07/02/18   11,750 
                       11,750 
                         
       TOTAL SHORT-TERM INVESTMENTS               11,750 
       (Cost $11,749)                 
       TOTAL INVESTMENTS - 99.7%               6,444,425 
       (Cost $6,333,890)                 
       OTHER ASSETS AND LIABILITIES, NET - 0.3%            23,089 
       NET ASSETS - 100.0%              $6,467,514 
       
       

d   All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
k   Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.
     
    Cost amounts are in thousands.

       
       

Futures contracts outstanding as of June 30, 2018 were as follows (notional amounts and values are in thousands) (see Note 3):

 

Description  Number of
long (short)
contracts
   Expiration date  Notional amount   Value   Unrealized
appreciation
(depreciation)
 
US 10 Year Note (CBT)   (100)  9/19/18  $(11,960)  $(12,019)  $(59)
374

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

COLLEGE RETIREMENT EQUITIES FUND
SOCIAL CHOICE ACCOUNT
SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2018

 

          REFERENCE      MATURITY  VALUE 
PRINCIPAL     ISSUER   RATE & SPREAD  RATE  DATE  (000) 
                     
BANK LOAN OBLIGATIONS - 0.3%                 
                         
CAPITAL GOODS - 0.0%                 
$2,570,385  i  Manitowoc Foodservice, Inc   LIBOR 1 M + 2.750%   4.840%  03/03/23  $2,564 
       TOTAL CAPITAL GOODS               2,564 
                         
MATERIALS - 0.0%                 
 3,285,177  i  H.B. Fuller Co   LIBOR 1 M + 2.000%   4.080   10/21/24   3,256 
       TOTAL MATERIALS               3,256 
                         
MEDIA - 0.1%                    
 8,532,125  i  Charter Communications Operating LLC   LIBOR 1 M + 2.000%   4.100   04/30/25   8,513 
       TOTAL MEDIA               8,513 
                         
TECHNOLOGY HARDWARE & EQUIPMENT - 0.1%                 
 8,534,043  i  MTS Systems Corp   LIBOR 1 M + 3.250%   5.340   07/05/23   8,534 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           8,534 
                         
UTILITIES - 0.1%                    
 5,001,566  i  ExGen Renewables IV LLC   LIBOR 3 M + 3.000%   5.310   11/28/24   5,015 
 3,911,625  i  TerraForm Power Operating LLC   LIBOR 1 M + 2.000%   4.090   11/08/22   3,905 
 14,525,511  †,i  Terra-Gen Finance Co LLC   LIBOR 1 M + 4.250%   6.350   12/09/21   13,000 
       TOTAL UTILITIES               21,920 
                         
       TOTAL BANK LOAN OBLIGATIONS           44,787 
       (Cost $46,185)                 
                         
BONDS - 39.5%                    
                         
CORPORATE BONDS - 13.5%                 
                         
AUTOMOBILES & COMPONENTS - 0.1%                 
 1,955,000  g  Adient Global Holdings Ltd       4.875   08/15/26   1,760 
 12,000,000     Ford Motor Co       4.750   01/15/43   10,364 
 4,675,000     Magna International, Inc       3.625   06/15/24   4,662 
       TOTAL AUTOMOBILES & COMPONENTS               16,786 
                         
BANKS - 3.0%                    
 10,900,000     Bank of America Corp       2.151   11/09/20   10,653 
 21,500,000  e,g  Bank of Montreal       2.500   01/11/22   21,016 
 18,500,000  e  Bank of Nova Scotia       2.125   09/11/19   18,355 
 12,000,000  e,g  Bank of Nova Scotia       1.875   09/20/21   11,534 
 14,000,000  e  BB&T Corp       3.700   06/05/25   13,926 
 3,160,000  g  Canadian Imperial Bank of Commerce       3.150   06/27/21   3,161 
 15,000,000  i  Citizens Bank NA   LIBOR 3 M + 0.540%   2.861   03/02/20   15,031 
 1,350,000     Citizens Financial Group, Inc       2.375   07/28/21   1,305 
375

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$7,025,000     Cooperatieve Centrale Raiffeisen-Boerenleenbank BA       3.950%  11/09/22  $6,955 
 2,710,000     Cooperatieve Centrale Raiffeisen-Boerenleenbank BA       4.375   08/04/25   2,656 
 7,800,000  i  Cooperatieve Rabobank UA  LIBOR 3 M + 0.430%   2.792   04/26/21   7,806 
 7,275,000     Cooperatieve Rabobank UA      2.750   01/10/22   7,093 
 15,000,000  i  Cooperatieve Rabobank UA  LIBOR 3 M + 0.480%   2.818   01/10/23   14,990 
 4,950,000     Cooperatieve Rabobank UA      3.750   07/21/26   4,632 
 9,400,000     Discover Bank      3.450   07/27/26   8,719 
 5,000,000  e,g  DNB Boligkreditt AS.      2.000   05/28/20   4,891 
 10,000,000     First Niagara Financial Group, Inc      6.750   03/19/20   10,551 
 13,400,000     HSBC Holdings plc      3.033   11/22/23   12,930 
 11,500,000  g  Intesa Sanpaolo S.p.A      5.017   06/26/24   10,434 
 10,000,000  g  Intesa Sanpaolo S.p.A      5.710   01/15/26   9,141 
 14,500,000     KeyCorp      4.100   04/30/28   14,379 
 4,644,000  i  Manufacturers & Traders Trust Co  LIBOR 1 M + 1.215%   3.317   12/28/20   4,653 
 9,076,000  i  Manufacturers & Traders Trust Co  LIBOR 3 M + 0.640%   2.940   12/01/21   9,032 
 1,605,000     Manufacturers & Traders Trust Co      2.900   02/06/25   1,539 
 3,425,000  e  Manufacturers & Traders Trust Co      3.400   08/17/27   3,310 
 18,775,000     Mitsubishi UFJ Financial Group, Inc      2.527   09/13/23   17,772 
 12,250,000     People’s United Bank      4.000   07/15/24   12,211 
 24,878,000     People’s United Financial, Inc      3.650   12/06/22   24,807 
 8,245,000     PNC Bank NA      2.950   01/30/23   7,993 
 13,500,000  i  Regions Bank  LIBOR 3 M + 0.380%   2.717   04/01/21   13,483 
 10,000,000     Regions Financial Corp      2.750   08/14/22   9,646 
 8,450,000     Royal Bank of Canada      1.875   02/05/20   8,317 
 12,000,000     Royal Bank of Canada      2.100   10/14/20   11,748 
 17,785,000     SVB Financial Group      3.500   01/29/25   17,222 
 23,700,000     Toronto-Dominion Bank      1.850   09/11/20   23,080 
 5,000,000  e  Toronto-Dominion Bank      1.800   07/13/21   4,788 
 12,000,000  g  Toronto-Dominion Bank      2.500   01/18/22   11,744 
 14,000,000     US Bancorp      2.950   07/15/22   13,676 
 12,019,000  g  Westpac Banking Corp      2.100   02/25/21   11,695 
       TOTAL BANKS              416,874 
                        
CAPITAL GOODS - 0.6%                
 18,000,000     Air Lease Corp      3.875   07/03/23   17,815 
 6,525,000     Air Lease Corp      4.250   09/15/24   6,476 
 1,975,000     Anixter, Inc      5.125   10/01/21   2,009 
 4,575,000     Anixter, Inc      5.500   03/01/23   4,718 
 6,250,000     CNH Industrial Capital LLC      3.875   10/15/21   6,219 
 4,600,000     Ingersoll-Rand Global Holding Co Ltd      4.250   06/15/23   4,728 
 3,250,000     Johnson Controls International plc      5.000   03/30/20   3,343 
 5,625,000     Parker-Hannifin Corp      4.200   11/21/34   5,719 
 6,980,000     Pentair Finance S.A.      2.650   12/01/19   6,904 
 3,300,000     Rockwell Collins, Inc      3.100   11/15/21   3,256 
 6,125,000     Rockwell Collins, Inc      3.700   12/15/23   6,095 
 725,000     Trimble, Inc      4.150   06/15/23   726 
 6,050,000     Trimble, Inc      4.900   06/15/28   6,037 
       TOTAL CAPITAL GOODS              74,045 
                        
COMMERCIAL & PROFESSIONAL SERVICES - 0.0%                
 2,730,000     Waste Management, Inc      4.600   03/01/21   2,821 
 3,475,000     Waste Management, Inc      3.900   03/01/35   3,378 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES           6,199 
376

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
CONSUMER SERVICES - 0.5%                
$10,000,000     Henry J Kaiser Family Foundation      3.356%  12/01/25  $9,797 
 1,250,000     McDonald’s Corp      5.000   02/01/19   1,267 
 19,000,000     Metropolitan Museum of Art      3.400   07/01/45   17,715 
 7,550,000     Nature Conservancy      6.300   07/01/19   7,723 
 17,500,000     New York Public Library Astor Lenox & Tilden Foundations      4.305   07/01/45   18,016 
 5,145,000     Salvation Army      5.637   09/01/26   5,392 
 9,800,000     Starbucks Corp      2.450   06/15/26   8,777 
       TOTAL CONSUMER SERVICES              68,687 
                        
DIVERSIFIED FINANCIALS - 0.8%                
 14,500,000     American Express Co      3.000   10/30/24   13,829 
 2,169,000     Discover Financial Services      3.850   11/21/22   2,159 
 5,103,000  g  EDP Finance BV      4.125   01/15/20   5,143 
 9,500,000  g  EDP Finance BV      5.250   01/14/21   9,790 
 11,625,000  g  EDP Finance BV      3.625   07/15/24   11,131 
 9,500,000     Ford Foundation      3.859   06/01/47   9,532 
 2,300,000     Legg Mason, Inc      3.950   07/15/24   2,278 
 2,214,000  e  Northern Trust Corp      3.375   08/23/21   2,230 
 18,900,000  g  Pattern Energy Group, Inc      5.875   02/01/24   18,853 
 1,535,000     Reinvestment Fund, Inc      3.166   11/01/23   1,481 
 10,250,000     Reinvestment Fund, Inc      3.366   11/01/24   9,848 
 2,570,000     Reinvestment Fund, Inc      3.513   11/01/25   2,444 
 15,000,000     State Street Corp      2.653   05/15/23   14,577 
 9,000,000  i  Toyota Motor Credit Corp  LIBOR 3 M + 0.280%   2.622   04/13/21   8,997 
 4,525,000     Unilever Capital Corp      2.000   07/28/26   4,013 
       TOTAL DIVERSIFIED FINANCIALS           116,305 
                        
ENERGY - 1.1%                
 4,175,000     Apache Corp      3.250   04/15/22   4,070 
 2,075,000  g  APT Pipelines Ltd      4.250   07/15/27   2,033 
 14,500,000     Cenovus Energy, Inc      5.250   06/15/37   14,250 
 3,175,000     Cimarex Energy Co      3.900   05/15/27   3,048 
 7,550,000  g  Colorado Interstate Gas Co LLC      4.150   08/15/26   7,312 
 7,735,007  g  Continental Wind LLC      6.000   02/28/33   8,021 
 8,450,000     EOG Resources, Inc      3.900   04/01/35   8,193 
 4,450,000     EOG Resources, Inc      5.100   01/15/36   4,855 
 11,750,000  e,g  Greenko Dutch BV      4.875   07/24/22   10,998 
 15,000,000     Kinder Morgan, Inc      3.150   01/15/23   14,476 
 1,000,000     Marathon Oil Corp      2.700   06/01/20   985 
 17,292,000     National Oilwell Varco, Inc      3.950   12/01/42   14,575 
 3,290,000     Noble Energy, Inc      5.050   11/15/44   3,285 
 3,875,000     ONEOK, Inc      4.000   07/13/27   3,748 
 6,200,000     ONEOK, Inc      4.950   07/13/47   6,032 
 2,775,000  g,i  Phillips 66  LIBOR 3 M + 0.750%   3.098   04/15/20   2,776 
 9,000,000     Phillips 66      4.650   11/15/34   9,043 
 9,500,000     Statoil ASA      3.150   01/23/22   9,509 
 4,500,000     Statoil ASA      2.650   01/15/24   4,313 
 5,932,000     Statoil ASA      3.950   05/15/43   5,656 
 5,000,000  g  Texas Eastern Transmission LP      4.125   12/01/20   5,068 
 8,700,000     Valero Energy Corp      4.350   06/01/28   8,721 
377

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$10,050,000  g  Woodside Finance Ltd      3.700%  03/15/28  $9,494 
       TOTAL ENERGY              160,461 
                        
HEALTH CARE EQUIPMENT & SERVICES - 0.2%                
 7,500,000  i  Becton Dickinson & Co  LIBOR 3 M + 1.030%   3.344   06/06/22   7,525 
 2,750,000     Becton Dickinson & Co      3.363   06/06/24   2,640 
 4,500,000     Becton Dickinson and Co      4.685   12/15/44   4,358 
 9,000,000     Laboratory Corp of America Holdings      3.200   02/01/22   8,901 
 4,460,000     Lutheran Medical Center      1.982   02/20/30   4,086 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES           27,510 
                        
INSURANCE - 0.4%                   
 3,000,000  g,i  Cranberry RE Ltd  LIBOR 6 M + 1.600%   4.093   07/13/20   3,026 
 15,000,000     Prudential Financial, Inc      5.200   03/15/44   14,944 
 7,450,000     Prudential Financial, Inc      5.375   05/15/45   7,413 
 18,222,000  g  Swiss Re Treasury US Corp      2.875   12/06/22   17,737 
 14,024,000  g  Swiss Re Treasury US Corp      4.250   12/06/42   14,039 
       TOTAL INSURANCE              57,159 
                        
MATERIALS - 0.8%                
 2,275,000  e  Ball Corp      5.000   03/15/22   2,340 
 8,930,000     Ball Corp      4.000   11/15/23   8,637 
 4,800,000  g  Commercial Metals Co      5.750   04/15/26   4,632 
 2,300,000     Eastman Chemical Co      5.500   11/15/19   2,376 
 20,000,000  e  Fibria Overseas Finance Ltd      5.500   01/17/27   19,900 
 7,500,000     International Paper Co      5.000   09/15/35   7,573 
 5,000,000     International Paper Co      6.000   11/15/41   5,517 
 4,600,000     International Paper Co      4.800   06/15/44   4,456 
 17,000,000  e,g  Inversiones CMPC S.A.      4.375   04/04/27   16,354 
 10,075,000  g  Klabin Finance S.A.      4.875   09/19/27   9,073 
 5,000,000     MeadWestvaco Corp      7.375   09/01/19   5,241 
 2,500,000  g  Sealed Air Corp      5.500   09/15/25   2,569 
 6,850,000  g  WestRock Co      3.000   09/15/24   6,491 
 10,750,000  g  WestRock Co      3.750   03/15/25   10,546 
 5,000,000  e,g  WestRock Co      4.000   03/15/28   4,926 
       TOTAL MATERIALS              110,631 
                        
MEDIA - 0.2%                   
 2,775,000  e,g  CCO Holdings LLC      4.000   03/01/23   2,609 
 3,125,000     Charter Communications Operating LLC      3.579   07/23/20   3,125 
 14,850,000     Charter Communications Operating LLC      4.464   07/23/22   15,015 
 3,625,000     Discovery Communications LLC      5.000   09/20/37   3,488 
 5,500,000     Time Warner Cable, Inc      4.500   09/15/42   4,516 
       TOTAL MEDIA              28,753 
                        
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.1%             
 5,000,000     Bristol-Myers Squibb Co      3.250   08/01/42   4,326 
 4,000,000     GlaxoSmithKline Capital plc      2.693   05/14/21   4,012 
 8,650,000     GlaxoSmithKline Capital plc      3.625   05/15/25   8,633 
 3,300,000     Zoetis, Inc      3.450   11/13/20   3,310 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES           20,281 
378

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                     
REAL ESTATE - 0.5%                
$8,500,000  e  Alexandria Real Estate Equities, Inc      4.000%  01/15/24  $8,544 
 1,975,000     Brandywine Operating Partnership LP      3.950   02/15/23   1,965 
 4,300,000     Brandywine Operating Partnership LP      3.950   11/15/27   4,084 
 8,775,000     Brixmor Operating Partnership LP      3.900   03/15/27   8,292 
 3,500,000     Federal Realty Investment Trust      2.750   06/01/23   3,344 
 3,225,000     Healthcare Realty Trust, Inc      3.625   01/15/28   3,019 
 11,075,000     Kilroy Realty LP      3.450   12/15/24   10,628 
 16,825,000     Mid-America Apartments LP      4.000   11/15/25   16,669 
 16,822,000     Regency Centers LP      3.750   06/15/24   16,461 
       TOTAL REAL ESTATE              73,006 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 0.3%                
 18,110,000     Apple, Inc      2.850   02/23/23   17,822 
 14,250,000     Apple, Inc      3.000   06/20/27   13,539 
 10,200,000     Corning, Inc      4.375   11/15/57   8,884 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           40,245 
                        
TELECOMMUNICATION SERVICES - 0.4%                
 3,400,000  e  CenturyLink, Inc      6.750   12/01/23   3,417 
 5,000,000  e,i  Verizon Communications, Inc  LIBOR 3 M + 1.000%   3.335   03/16/22   5,079 
 9,856,000     Verizon Communications, Inc      3.376   02/15/25   9,466 
 9,000,000  i  Verizon Communications, Inc  LIBOR 3 M + 1.100%   3.443   05/15/25   8,990 
 11,750,000     Verizon Communications, Inc      2.625   08/15/26   10,425 
 9,050,000     Verizon Communications, Inc      4.272   01/15/36   8,343 
 7,350,000     Verizon Communications, Inc      5.250   03/16/37   7,544 
       TOTAL TELECOMMUNICATION SERVICES           53,264 
                        
TRANSPORTATION - 1.0%                
 6,775,000     CSX Corp      4.250   11/01/66   5,852 
 7,150,000     Delta Air Lines, Inc      3.625   03/15/22   7,067 
 2,085,383     Delta Air Lines, Inc      4.250   07/30/23   2,081 
 5,288,247     Delta Air Lines, Inc      3.625   07/30/27   5,245 
 4,000,000     Kansas City Southern      3.000   05/15/23   3,852 
 7,000,000     Kansas City Southern      4.300   05/15/43   6,506 
 15,925,000     Kansas City Southern      4.950   08/15/45   15,999 
 5,275,000  g  Mexico City Airport Trust      4.250   10/31/26   4,972 
 9,525,000  g  Mexico City Airport Trust      5.500   10/31/46   8,379 
 11,050,000  g  Mexico City Airport Trust      5.500   07/31/47   9,846 
 475,000     Norfolk Southern Corp      5.590   05/17/25   521 
 6,450,000     Spirit Airlines Pass Through Trust      3.800   02/15/26   6,291 
 10,000,000     Spirit Airlines Pass Through Trust      3.375   02/15/30   9,788 
 7,688,902     Spirit Airlines, Inc      4.100   04/01/28   7,656 
 13,000,000     Union Pacific Corp      4.375   09/10/38   13,072 
 4,812,205     Union Pacific Railroad Co      3.227   05/14/26   4,662 
 15,921,648     Union Pacific Railroad Co      2.695   05/12/27   14,807 
 1,360,000     United Parcel Service of America, Inc (Step Bond)      8.375   04/01/30   1,847 
 2,250,000  i  United Parcel Service, Inc  LIBOR 3 M + 0.380%   2.710   05/16/22   2,263 
 7,500,000  i  United Parcel Service, Inc  LIBOR 3 M + 0.450%   2.787   04/01/23   7,526 
       TOTAL TRANSPORTATION              138,232 
379

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
UTILITIES - 3.5%                   
$2,000,000     Atmos Energy Corp      8.500%  03/15/19  $2,076 
 11,100,000     Avangrid, Inc      3.150   12/01/24   10,673 
 20,275,000     Avista Corp      4.350   06/01/48   20,463 
 16,500,000  g  Brooklyn Union Gas Co      4.273   03/15/48   16,383 
 1,200,000     Connecticut Light & Power Co      5.500   02/01/19   1,219 
 2,000,000     Connecticut Light & Power Co      5.750   03/01/37   2,403 
 22,500,000  g  Electricite de France S.A.      3.625   10/13/25   22,021 
 6,150,000     Fortis, Inc      2.100   10/04/21   5,868 
 10,750,000     Fortis, Inc      3.055   10/04/26   9,791 
 13,750,000     Georgia Power Co      3.250   04/01/26   13,125 
 2,745,000     International Transmission Co      4.625   08/15/43   2,900 
 6,575,000     Interstate Power & Light Co      3.250   12/01/24   6,406 
 4,000,000     MidAmerican Energy Co      3.100   05/01/27   3,848 
 9,250,000  g  Narragansett Electric Co      4.170   12/10/42   9,115 
 2,050,000  g  NextEra Energy Operating Partners LP      4.250   09/15/24   1,973 
 3,875,000  g  NextEra Energy Operating Partners LP      4.500   09/15/27   3,623 
 9,732,000  g  Niagara Mohawk Power Corp      4.278   10/01/34   10,059 
 9,750,000  g  Niagara Mohawk Power Corp      4.119   11/28/42   9,488 
 1,500,000     Northwest Natural Gas Co      5.620   11/21/23   1,646 
 11,000,000     NorthWestern Corp      4.176   11/15/44   10,985 
 13,050,000     PSEG Power LLC      3.850   06/01/23   12,986 
 630,000     Public Service Co of Colorado      4.750   08/15/41   683 
 7,625,000     Public Service Co of Colorado      4.100   06/15/48   7,659 
 5,500,000     San Diego Gas & Electric Co      3.000   08/15/21   5,470 
 7,642,903     San Diego Gas & Electric Co      1.914   02/01/22   7,457 
 17,000,000     San Diego Gas & Electric Co      4.150   05/15/48   17,034 
 25,382,510  g  Solar Star Funding LLC      3.950   06/30/35   23,916 
 23,899,588  g  Solar Star Funding LLC      5.375   06/30/35   25,002 
 2,000,000     Southern California Edison Co      2.400   02/01/22   1,932 
 6,000,000     Southern California Edison Co      3.400   06/01/23   5,976 
 4,700,000     Southern California Edison Co      4.125   03/01/48   4,443 
 6,600,000     Southern Power Co      1.950   12/15/19   6,488 
 8,300,000     Southern Power Co      2.500   12/15/21   8,064 
 25,000,000     Southern Power Co      4.150   12/01/25   25,031 
 39,500,000  e,g  Star Energy Geothermal Wayang Windu Ltd      6.750   04/24/33   34,839 
 12,400,000     Tampa Electric Co      4.300   06/15/48   12,264 
 20,000,000  g  TerraForm Power Operating LLC      5.000   01/31/28   18,950 
 23,077,387  g  Topaz Solar Farms LLC      4.875   09/30/39   23,157 
 12,681,019  g  Topaz Solar Farms LLC      5.750   09/30/39   13,547 
 5,000,000     Washington Gas Light Co      5.440   08/11/25   5,516 
 19,650,000     Westar Energy, Inc      2.550   07/01/26   18,142 
 16,525,000     WGL Holdings, Inc      2.250   11/01/19   16,306 
 20,000,000  i  WGL Holdings, Inc  LIBOR 3 M + 0.550%   2.876   03/12/20   20,032 
       TOTAL UTILITIES              478,959 
                        
       TOTAL CORPORATE BONDS           1,887,397 
       (Cost $1,931,134)                
                        
GOVERNMENT BONDS - 22.2%                
                        
AGENCY SECURITIES - 4.2%                
 27,713,542     Abay Leasing LLC      2.654   11/09/26   27,240 
 22,149,165     CES MU2 LLC      2.166   12/16/26   21,292 
 6,783,333     DY9 Leasing LLC      2.415   06/30/27   6,589 
 10,263,221     Ethiopian Leasing LLC      2.566   08/14/26   9,989 
380

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$3,039,560     Export Lease Ten Co LLC      1.650%  05/07/25  $2,896 
 4,772,740     Export Leasing LLC      1.859   08/28/21   4,698 
 2,290,826  †,g  Genesis Solar Pass Through Trust      3.875   02/15/38   2,399 
 1,096,000  j  Government Trust Certificate      0.000   04/01/19   1,076 
 5,000,000  j  Government Trust Certificate      0.000   04/01/21   4,633 
 5,950,000     Hashemite Kingdom of Jordan Government AID Bond      3.000   06/30/25   5,896 
 5,560,000  g  Hospital for Special Surgery      3.500   01/01/23   5,567 
 6,750,000  i  India Government AID Bond  LIBOR 3 M + 0.100%   2.458   02/01/27   6,522 
 45,500,000     Iraq Government AID Bond      2.149   01/18/22   44,589 
 6,562,500     Mexican Aircraft Finance V LLC      2.329   01/14/27   6,364 
 5,325,000     Montefiore Medical Center      2.152   10/20/26   5,009 
 3,225,000  g  Montefiore Medical Center      3.896   05/20/27   3,259 
 20,125,000     Montefiore Medical Center      2.895   04/20/32   19,020 
 20,900,000    NCUA Guaranteed Notes      3.000   06/12/19   20,982 
 7,000,000    NCUA Guaranteed Notes      3.450   06/12/21   7,187 
 16,040,000     New York Society for the Relief of the Ruptured & Crippled      2.881   12/20/31   15,067 
 5,540,000  j  Overseas Private Investment Corp (OPIC)      0.000   11/13/18   5,584 
 3,150,000  j  OPIC      0.000   09/30/19   3,162 
 5,205,206  j  OPIC      0.000   11/15/19   5,603 
 3,050,000  j  OPIC      0.000   01/26/21   3,051 
 12,226,000  j  OPIC      0.000   07/17/21   12,065 
 3,511,949     OPIC      2.290   09/15/26   3,414 
 1,855,356     OPIC      2.040   12/15/26   1,792 
 9,485,667     OPIC      2.740   09/15/29   9,069 
 11,674,667     OPIC      3.220   09/15/29   11,371 
 13,134,001     OPIC      3.280   09/15/29   12,980 
 2,421,331     OPIC      2.610   04/15/30   2,287 
 3,676,500     OPIC      2.930   05/15/30   3,545 
 6,075,900     OPIC      3.040   05/15/30   5,962 
 7,058,889     OPIC      3.540   06/15/30   7,190 
 18,283,580     OPIC      3.370   12/15/30   18,317 
 20,231,254     OPIC      3.820   12/20/32   20,637 
 13,052,422     OPIC      3.938   12/20/32   13,428 
 11,303,244     OPIC      3.160   06/01/33   11,076 
 10,851,115     OPIC      3.430   06/01/33   10,826 
 1,175,871     OPIC      2.810   07/31/33   1,114 
 1,881,394     OPIC      2.940   07/31/33   1,800 
 4,521,005     Penta Aircraft Leasing LLC      1.691   04/29/25   4,320 
 4,318,180  i  Pluto Aircraft Leasing LLC  LIBOR 3 M + 0.210%   2.573   02/07/23   4,315 
 5,000,000     Private Export Funding Corp (PEFCO)   4.375   03/15/19   5,071 
 5,854,000     PEFCO      1.450   08/15/19   5,786 
 13,150,000     PEFCO      2.250   03/15/20   13,059 
 8,000,000     PEFCO      2.300   09/15/20   7,903 
 17,500,000     PEFCO      4.300   12/15/21   18,295 
 4,250,000     PEFCO      2.050   11/15/22   4,108 
 4,000,000     PEFCO      3.550   01/15/24   4,108 
 8,000,000     PEFCO      3.250   06/15/25   8,068 
 5,183,040     Safina Ltd      1.550   01/15/22   5,065 
 7,213,248     Sandalwood 2013 LLC      2.836   07/10/25   7,161 
 1,763,478     Tayarra Ltd      3.628   02/15/22   1,786 
 1,673,542     Tricahue Leasing LLC      3.503   11/19/21   1,691 
 15,300,000     Ukraine Government AID Bonds      1.847   05/29/20   15,079 
381

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$23,945,000     Ukraine Government AID Bonds      1.471%  09/29/21  $22,986 
 8,478,262     Ulani MSN 37894      2.184   12/20/24   8,253 
 2,940,739     Union 16 Leasing LLC      1.863   01/22/25   2,828 
 7,235,000     UNM Sandoval Regional Medical Center      4.500   07/20/36   7,423 
 10,750,000     US Department of Housing and Urban Development (HUD)      1.770   08/01/18   10,750 
 4,213,000     HUD      5.380   08/01/18   4,227 
 750,000     HUD      2.050   08/01/19   746 
 9,500,000     HUD      4.870   08/01/19   9,717 
 13,967,000     HUD      4.960   08/01/20   14,293 
 13,500,000     HUD      5.050   08/01/21   13,841 
 3,217,000     HUD      2.910   08/01/23   3,197 
       TOTAL AGENCY SECURITIES              588,623 
                        
FOREIGN GOVERNMENT BONDS - 4.5%                
 13,550,000     African Development Bank      2.375   09/23/21   13,342 
 17,500,000     Asian Development Bank      2.125   03/19/25   16,574 
 17,000,000  g  Bank Nederlandse Gemeenten NV      2.125   12/14/20   16,713 
 6,000,000  g  Caisse d’Amortissement de la Dette Sociale      2.000   04/17/20   5,918 
 5,465,578  g  Carpintero Finance Ltd      2.004   09/18/24   5,288 
 5,000,000  g  CPPIB Capital, Inc      2.750   11/02/27   4,806 
 2,000,000     European Investment Bank      2.000   03/15/21   1,958 
 11,250,000  g  European Investment Bank      2.875   06/13/25   11,144 
 20,750,000     European Investment Bank      2.125   04/13/26   19,448 
 3,750,000  e  European Investment Bank      2.375   05/24/27   3,555 
 2,000,000     European Investment Bank      4.875   02/15/36   2,468 
 15,775,000     Export Development Canada      1.250   12/10/18   15,693 
 9,000,000  e  Export Development Canada      1.625   12/03/19   8,876 
 15,000,000  e  Export Development Canada      2.000   11/30/20   14,740 
 12,000,000     Export Development Canada      1.375   10/21/21   11,443 
 15,000,000  g  Finnvera Oyj      2.375   06/04/25   14,193 
 6,082,000     Hydro Quebec      8.400   01/15/22   7,046 
 45,000,000     Inter-American Development Bank      1.185   07/09/18   44,994 
 20,000,000  i  Inter-American Development Bank  LIBOR 3 M + 0.010%   2.358   01/15/22   19,986 
 27,900,000  g  International Development Association      2.750   04/24/23   27,736 
 19,250,000     International Finance Corp      1.750   03/30/20   18,958 
 46,500,000     International Finance Corp      1.546   11/04/21   44,223 
 40,500,000  e  International Finance Corp      2.125   04/07/26   38,041 
 5,000,000     Japan Bank for International Cooperation      1.875   04/20/21   4,851 
 9,000,000  g  Japan Finance Organization for Municipalities      2.125   04/13/21   8,742 
 11,500,000     KFW      1.500   04/20/20   11,260 
 38,200,000     KFW      1.875   11/30/20   37,421 
 10,000,000  e  KFW      2.625   01/25/22   9,914 
 8,850,000  g  Kommunalbanken AS.      1.375   10/26/20   8,576 
 12,500,000  g  Kommunalbanken AS.      2.125   02/11/25   11,782 
 18,500,000  i  Korea Development Bank  LIBOR 3 M + 0.725%   3.050   07/06/22   18,477 
 16,750,000     Kreditanstalt fuer Wiederaufbau      2.000   11/30/21   16,287 
 3,000,000  g  Nacional Financiera SNC      3.375   11/05/20   2,985 
 25,000,000  g  Nederlandse Waterschapsbank NV      2.375   03/24/26   23,688 
 10,000,000     North American Development Bank      2.300   10/10/18   9,994 
 2,000,000     North American Development Bank      4.375   02/11/20   2,046 
 37,000,000  g  Perusahaan Penerbit SBSN Indonesia III      3.750   03/01/23   36,228 
 15,000,000     Province of Manitoba Canada      2.100   09/06/22   14,403 
 12,700,000  e  Province of Manitoba Canada      3.050   05/14/24   12,564 
382

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$5,000,000     Province of Ontario Canada      4.400%  04/14/20  $5,139 
 10,000,000     Province of Quebec Canada      3.500   07/29/20   10,140 
 10,000,000     Province of Quebec Canada      2.750   04/12/27   9,619 
 5,000,000     Province of Quebec Canada      7.500   09/15/29   6,854 
       TOTAL FOREIGN GOVERNMENT BONDS           628,113 
                        
MORTGAGE BACKED - 6.7%                
 11,761,712     Federal Home Loan Mortgage Corp (FHLMC)   3.500   08/15/43   11,895 
 4,532,834     FHLMC      3.000   03/15/44   4,433 
 9,667,301     FHLMC      3.500   09/15/44   9,685 
 9,752,079  i  FHLMC  LIBOR 1 M + 9.920%   6.603   06/15/48   10,351 
 20,882     Federal Home Loan Mortgage Corp Gold (FGLMC)   7.000   10/01/20   21 
 3,289     FGLMC      7.000   05/01/23   4 
 4,957,292     FGLMC      3.500   03/01/27   5,015 
 14,197     FGLMC      8.000   01/01/31   15 
 280,581     FGLMC      4.500   07/01/33   294 
 407,629     FGLMC      5.500   09/01/33   438 
 475,781     FGLMC      5.500   09/01/33   513 
 697,359     FGLMC      5.500   12/01/33   756 
 1,940,883     FGLMC      7.000   12/01/33   2,176 
 595,698     FGLMC      7.000   05/01/35   667 
 426,703     FGLMC      5.000   07/01/39   456 
 699,284     FGLMC      4.500   10/01/44   737 
 706,976     FGLMC      4.500   11/01/44   742 
 1,146,137     FGLMC      4.500   11/01/44   1,208 
 388,902     FGLMC      4.500   12/01/44   407 
 635,814     FGLMC      4.500   12/01/44   674 
 2,730,642     FGLMC      3.500   04/01/45   2,732 
 24,471,790     FGLMC      3.500   10/01/45   24,473 
 11,837,938     FGLMC      4.000   12/01/45   12,167 
 37,816,220     FGLMC      3.500   08/01/46   37,862 
 18,098,774     FGLMC      3.000   01/01/47   17,521 
 28,304,287     FGLMC      3.000   02/01/47   27,412 
 2,645,682     FGLMC      4.000   09/01/47   2,734 
 15,303,068     FGLMC      4.000   03/01/48   15,699 
 7,000,000     Federal National Mortgage Association (FNMA)   1.625   01/21/20   6,907 
 329     FNMA      8.000   03/01/23    0^
 16,522     FNMA      8.000   07/01/24   18 
 18,500,000  i  FNMA      2.878   02/25/27   17,697 
 8,127,066     FNMA      3.500   02/01/32   8,232 
 3,540,500     FNMA      3.500   05/01/32   3,595 
 8,732,408     FNMA      3.500   07/01/32   8,845 
 243,316     FNMA      6.500   07/01/32   270 
 10,055,365     FNMA      3.000   11/01/32   10,002 
 1,928,724     FNMA      5.000   06/01/33   2,065 
 4,344,447     FNMA      5.000   10/01/33   4,653 
 226,491     FNMA      5.000   11/01/33   240 
 676,234     FNMA      5.000   03/01/34   724 
 1,185,776     FNMA      5.500   03/01/34   1,289 
 3,565,341     FNMA      5.000   05/01/35   3,818 
 2,270,588     FNMA      5.000   10/01/35   2,432 
 1,716,763     FNMA      5.000   02/01/36   1,839 
 888,993     FNMA      5.500   08/01/37   966 
383

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  
 
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$569,070     FNMA      6.000%  09/01/37  $639 
 429,376     FNMA      6.000   09/01/37   481 
 93,599     FNMA      6.500   09/01/37   103 
 550,209     FNMA      5.500   01/01/38   596 
 17,332     FNMA      6.500   02/01/38   19 
 1,672,310     FNMA      5.500   04/01/38   1,806 
 2,528,593     FNMA      5.500   11/01/38   2,739 
 3,390,912     FNMA      5.500   12/01/38   3,704 
 26,334     FNMA      4.500   04/01/39   28 
 982,983     FNMA      5.500   08/01/39   1,074 
 43,023     FNMA      4.500   02/01/40   45 
 384,069     FNMA      5.000   08/01/40   412 
 1,762,740     FNMA      5.000   09/01/40   1,889 
 126,737     FNMA      4.500   11/01/40   133 
 229,407     FNMA      4.500   01/01/41   241 
 173,301     FNMA      4.500   02/01/41   182 
 3,058,719     FNMA      5.000   05/01/41   3,281 
 226,382     FNMA      4.500   06/01/41   238 
 201,048     FNMA      4.500   06/01/41   211 
 518,926     FNMA      5.000   06/01/41   556 
 1,625,299     FNMA      5.000   07/01/41   1,743 
 325,133     FNMA      4.500   12/01/41   341 
 9,429,441     FNMA      5.500   12/01/41   10,446 
 250,956     FNMA      4.500   01/01/42   264 
 218,951     FNMA      4.500   04/01/42   230 
 1,637,252     FNMA      4.500   04/01/42   1,722 
 272,860     FNMA      4.500   06/01/42   287 
 2,315,509     FNMA      4.500   06/01/42   2,431 
 188,063     FNMA      4.500   07/01/42   198 
 840,426     FNMA      4.500   06/01/44   879 
 9,836,631     FNMA      4.500   06/01/44   10,311 
 2,309,480     FNMA      4.500   08/01/44   2,421 
 5,336,850     FNMA      4.500   10/01/44   5,595 
 10,444,223     FNMA      4.500   11/01/44   10,946 
 2,242,462     FNMA      4.500   12/01/44   2,351 
 12,145,032     FNMA      3.000   02/25/45   12,032 
 3,496,226     FNMA      3.000   02/25/45   3,451 
 374,533     FNMA      3.500   03/01/45   375 
 262,571     FNMA      3.500   03/01/45   263 
 598,738     FNMA      4.500   03/01/45   633 
 3,716,382     FNMA      3.000   03/25/45   3,666 
 685,074     FNMA      4.500   04/01/45   725 
 9,185,079     FNMA      3.500   04/25/45   9,251 
 15,202,024     FNMA      3.500   04/25/45   15,286 
 5,342,074     FNMA      3.500   05/01/45   5,360 
 26,607,914     FNMA      3.000   12/25/45   26,048 
 8,336,150     FNMA      3.500   01/01/46   8,333 
 10,189,915     FNMA      4.000   01/01/46   10,460 
 10,401,728     FNMA      3.500   06/01/46   10,390 
 2,854,787     FNMA      3.500   08/01/46   2,850 
 7,556,225     FNMA      3.500   10/01/46   7,548 
 18,507,272     FNMA      3.500   12/01/46   18,470 
 50,579,892  h  FNMA      3.500   01/01/47   50,470 
 9,206,367     FNMA      3.000   04/01/47   8,929 
384

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  
 
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$5,385,938     FNMA      4.500%  02/01/48  $5,673 
 60,844,604     FNMA      3.000   02/25/48   59,502 
 6,516,957     FNMA      4.000   03/01/48   6,689 
 22,693,804     FNMA      4.500   03/01/48   23,902 
 83,192,541     FNMA      4.000   04/01/48   84,924 
 36,800,000     FNMA      4.500   07/01/48   38,367 
 9,746     Government National Mortgage Association (GNMA)       6.500   08/15/23   11 
 5,091     GNMA      6.500   08/15/23   6 
 5,205,162     GNMA      2.580   08/15/25   5,047 
 66,356     GNMA      6.500   05/20/31   76 
 7,849,559     GNMA      2.640   01/15/33   7,645 
 11,028,153     GNMA      2.690   06/15/33   10,401 
 8,903,737     GNMA      3.700   10/15/33   8,950 
 66,763     GNMA      6.000   10/20/36   74 
 77,818     GNMA      6.000   01/20/37   86 
 443,808     GNMA      6.000   02/20/37   490 
 188,858     GNMA      5.000   04/15/38   201 
 123,384     GNMA      6.000   08/20/38   136 
 276,749     GNMA      6.500   11/20/38   310 
 23,804     GNMA      4.500   02/20/39   25 
 8,245,326     GNMA      3.700   08/15/40   8,295 
 33,608     GNMA      4.500   08/20/41   36 
 120,124     GNMA      4.500   09/20/41   127 
 26,228     GNMA      4.500   01/20/44   28 
 27,726     GNMA      4.500   02/20/44   29 
 50,645     GNMA      4.500   05/20/44   54 
 345,433     GNMA      4.500   05/20/44   366 
 393,992     GNMA      4.500   08/20/44   418 
 397,705     GNMA      4.500   09/20/44   421 
 141,107     GNMA      4.500   10/20/44   149 
 86,586     GNMA      4.500   11/20/44   91 
 247,838     GNMA      4.500   12/20/44   263 
 376,520     GNMA      4.500   02/20/45   400 
 430,133     GNMA      4.500   08/20/45   457 
 468,812     GNMA      4.500   08/20/45   497 
 438,153     GNMA      4.500   12/20/45   465 
 18,434,753     GNMA      3.000   12/20/47   18,042 
 45,015,220     GNMA      3.500   12/20/47   45,214 
 36,771,257     GNMA      3.000   01/20/48   35,987 
 37,701,544     GNMA      3.500   01/20/48   37,868 
 10,530,256     GNMA      4.000   03/20/48   10,800 
       TOTAL MORTGAGE BACKED              940,283 
                        
MUNICIPAL BONDS - 4.8%                
 3,340,000     Antelope Valley-East Kern Water Agency Financing Authority       4.326   06/01/36   3,381 
 4,500,000  g  Basin Electric Power Coop      6.127   06/01/41   5,064 
 3,790,000     Bay Area Water Supply & Conservation Agency   2.535   10/01/21   3,728 
 2,635,000     Bay Area Water Supply & Conservation Agency   3.015   10/01/24   2,581 
 1,170,000     Brunswick & Glynn County Development Authority   3.060   04/01/25   1,132 
 6,270,600     California Earthquake Authority      2.805   07/01/19   6,271 
 13,000,000     California Housing Finance Agency   2.966   08/01/22   12,911 
 6,080,000  g  California Pollution Control Financing Authority   5.000   07/01/27   6,235 
385

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  
 
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$7,930,000  g  California Pollution Control Financing Authority   5.000%  07/01/37  $7,982 
 2,470,000  g  California Pollution Control Financing Authority   5.000   11/21/45   2,498 
 3,700,000     Calleguas Municipal Water District      2.030   07/01/18   3,700 
 3,380,000     Chicago Board of Education      5.000   12/01/20   3,484 
 9,700,000     Chicago Metropolitan Water Reclamation District-Greater Chicago      5.720   12/01/38   12,006 
 3,500,000     City & County Honolulu HI Wastewater System Revenue      3.200   07/01/26   3,444 
 3,035,000     City & County of Honolulu, HI      2.668   10/01/27   2,866 
 1,250,000     City & County of Honolulu, HI      6.114   07/01/29   1,293 
 7,085,000     City & County of San Francisco CA      4.000   04/01/47   6,918 
 5,500,000     City & County of San Francisco CA      4.000   09/01/48   5,458 
 8,850,000     City of Austin TX Water & Wastewater System Revenue      1.933   05/15/19   8,791 
 2,750,000     City of Austin TX Water & Wastewater System Revenue      2.133   11/15/19   2,727 
 6,500,000     City of Chicago IL      7.750   01/01/42   7,042 
 7,280,000     City of Cincinnati OH Water System Revenue      2.568   12/01/21   7,199 
 560,000     City of Eugene, OR      6.320   08/01/22   604 
 1,250,000     City of Florence SC      4.250   12/01/34   1,258 
 12,500,000     City of Houston TX Utility System Revenue      2.563   05/15/20   12,462 
 500,000     City of Jersey City NJ      2.079   09/01/18   500 
 925,000     City of Jersey City NJ      2.423   09/01/19   920 
 5,145,000  h  City of Los Angeles CA      3.320   09/01/24   5,131 
 5,145,000  h  City of Los Angeles CA      3.450   09/01/25   5,127 
 7,500,000  h  City of Los Angeles CA      3.880   09/01/38   7,463 
 3,010,000     City of Norfolk VA      3.000   10/01/35   2,677 
 3,665,000     City of Norfolk VA      3.050   10/01/36   3,266 
 3,345,000     City of San Francisco CA Public Utilities Commission Water Revenue      3.000   11/01/26   3,205 
 3,725,000     City of San Francisco CA Public Utilities Commission Water Revenue      3.950   11/01/36   3,712 
 18,500,000     City of San Francisco CA Public Utilities Commission Water Revenue      4.185   11/01/46   18,992 
 1,000,000     City of San Juan Capistrano CA      3.700   08/01/31   1,003 
 1,000,000     Commonwealth Financing Authority      2.675   06/01/21   984 
 1,150,000     Commonwealth Financing Authority      2.875   06/01/22   1,126 
 2,310,000     Commonwealth Financing Authority      3.075   06/01/23   2,268 
 2,730,000     Commonwealth Financing Authority      3.864   06/01/38   2,672 
 7,650,000     County of Alameda CA      3.820   08/01/38   7,572 
 1,500,000     County of Miami-Dade FL Aviation Revenue      2.218   10/01/22   1,442 
 15,000,000     District of Columbia Water & Sewer Authority      4.814   10/01/14   16,539 
 1,600,000     Fiscal Year 2005 Securitization Corp      4.760   08/15/19   1,617 
 9,000,000     Florida State Board of Administration Finance Corp      2.163   07/01/19   8,944 
 15,630,000  j  Garden State Preservation Trust      0.000   11/01/22   13,947 
 1,000,000     Grant County Public Utility District No 2      5.470   01/01/34   1,075 
 1,250,000     Grant County Public Utility District No 2      4.164   01/01/35   1,282 
 4,135,000     Greene County OH      2.720   12/01/21   4,138 
 4,365,000     Greene County OH      3.120   12/01/23   4,377 
 4,615,000     Greene County OH      3.270   12/01/24   4,634 
 4,755,000     Greene County OH      3.420   12/01/25   4,782 
 1,400,000     Guadalupe Valley Electric Coop, Inc      5.671   10/01/32   1,488 
 975,000     Guadalupe-Blanco River Authority Industrial Development Corp      3.287   04/15/23   976 
386

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  
 
  RATE   MATURITY
DATE
  VALUE
(000)
 
                        
$5,125,000     Imperial Irrigation District Electric System Revenue      4.500%  11/01/40  $5,443 
 2,000,000     Kern County Water Agency Improvement District No 4      4.276   05/01/36   2,059 
 540,000     Lavaca-Navidad River Authority      3.850   08/01/26   548 
 6,430,000     Lavaca-Navidad River Authority      4.430   08/01/35   6,574 
 3,725,000     Maryland Community Development Administration Housing Revenue      3.797   03/01/39   3,549 
 300,000     Massachusetts Housing Finance Agency      4.782   12/01/20   305 
 4,650,000     Massachusetts St. Water Pollution Abatement      5.192   08/01/40   5,274 
 3,500,000     Metropolitan Council      1.750   09/01/20   3,423 
 5,000,000     Metropolitan Water District of Southern California      6.250   07/01/39   5,175 
 8,000,000     Michigan Finance Authority      5.000   07/01/22   8,836 
 500,000     Michigan Finance Authority      5.000   07/01/22   546 
 8,945,000     Michigan Finance Authority      5.000   07/01/22   9,880 
 2,500,000     Michigan Finance Authority      5.000   07/01/30   2,768 
 2,000,000     Michigan Finance Authority      5.000   07/01/31   2,209 
 8,500,000     New Jersey Economic Development Authority      4.271   06/15/20   8,646 
 7,400,000     New Jersey Economic Development Authority      5.706   06/15/30   8,212 
 3,000,000     New Jersey Economic Development Authority      5.756   06/15/31   3,353 
 3,375,000     New Mexico Finance Authority      4.090   06/15/38   3,414 
 1,590,000     New York State Energy Research & Development Authority      2.372   07/01/19   1,584 
 1,285,000     New York State Energy Research & Development Authority      2.772   07/01/20   1,286 
 1,590,000     New York State Energy Research & Development Authority      3.206   07/01/22   1,602 
 1,200,000     New York State Environmental Facilities Corp      2.005   06/15/19   1,192 
 1,220,000     New York State Environmental Facilities Corp      2.595   06/15/21   1,202 
 1,255,000     New York State Environmental Facilities Corp      3.045   06/15/24   1,247 
 1,225,000     New York State Environmental Facilities Corp      3.195   06/15/25   1,220 
 2,120,000     New York State Environmental Facilities Corp      3.520   07/15/27   2,136 
 500,000     New York State Environmental Facilities Corp      3.684   12/15/29   506 
 680,000     New York State Urban Development Corp      6.500   12/15/18   693 
 17,500,000     New York Transportation Development Corp      5.000   01/01/26   19,733 
 1,250,000  g  Niagara Area Development Corp      4.000   11/01/24   1,251 
 4,750,000     Northern California Power Agency      4.320   07/01/24   4,848 
 4,760,000     Ohio State Water Development Authority      4.879   12/01/34   5,231 
 700,000     Oklahoma Water Resources Board      3.071   04/01/22   702 
 13,250,000  g  Oregon State Business Development Commission      6.500   04/01/31   12,990 
 2,500,000     Palm Beach County Solid Waste Authority      2.636   10/01/24   2,405 
 1,000,000     Pend Oreille County Public Utility District No Box Canyon      3.037   01/01/19   995 
 1,070,000     Pend Oreille County Public Utility District No Box Canyon      3.621   01/01/21   1,049 
 5,000,000     Pend Oreille County Public Utility District No Box Canyon      5.000   01/01/30   5,073 
 1,000,000     Sacramento Area Flood Control Agency      2.699   10/01/22   966 
 435,000     San Francisco City & County Redevelopment Agency      3.113   08/01/22   431 
 2,000,000     San Francisco City & County Redevelopment Agency      4.375   08/01/44   2,070 
 1,000,000     South Dakota Conservancy District      1.620   08/01/18   1,000 
 3,330,000     South Dakota Conservancy District      1.648   08/01/18   3,329 
 2,920,000     South Dakota Conservancy District      1.898   08/01/19   2,901 
 38,830,000     State of California      3.750   10/01/37   39,697 
387

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER       RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$11,565,000     State of California      4.600%  04/01/38  $12,114 
 10,050,000     State of California      4.988   04/01/39   10,790 
 2,000,000  i  State of California      2.193   04/01/47   1,977 
 10,500,000     State of Illinois      5.000   02/01/19   10,657 
 9,800,000     State of Illinois      5.000   02/01/20   10,080 
 8,000,000     State of Illinois      5.000   02/01/22   8,397 
 9,000,000     State of Illinois      5.520   04/01/38   8,455 
 1,500,000     State of Louisiana      1.769   08/01/20   1,471 
 4,505,000     State of Michigan      3.375   12/01/20   4,558 
 4,405,000     State of Michigan      3.590   12/01/26   4,458 
 2,500,000     State of Ohio      5.412   09/01/28   2,922 
 2,500,000     State of Texas      2.749   10/01/23   2,481 
 5,000,000     State of Texas      6.072   10/01/29   5,219 
 2,025,000     State of Texas      3.576   08/01/34   2,025 
 3,370,000     State of Texas      3.726   08/01/43   3,372 
 3,000     State of Wisconsin      5.700   05/01/26   3 
 4,000,000     Suffolk County Water Authority      4.000   06/01/39   4,227 
 1,650,000     Syracuse Industrial Development Agency      5.000   01/01/36   1,642 
 2,280,000     Tampa Bay Water      2.612   10/01/25   2,163 
 3,225,000     Tampa Bay Water      2.782   10/01/26   3,079 
 3,000,000     Tampa Bay Water      2.952   10/01/27   2,891 
 1,255,000     Texas Water Development Board      4.248   10/15/35   1,293 
 4,170,000     Texas Water Development Board      4.648   04/15/50   4,375 
 5,000,000     Tuolumne Wind Project Authority      6.918   01/01/34   6,133 
 3,035,000     University of California      3.809   05/15/28   3,055 
 11,400,000     University of California      4.009   05/15/30   11,574 
 1,000,000     University of Cincinnati      3.250   06/01/29   1,003 
 1,560,000     University of Cincinnati      3.650   06/01/34   1,570 
 1,615,000     University of Cincinnati      3.700   06/01/35   1,630 
 18,000,000     University of New Mexico      3.532   06/20/32   17,780 
 17,500,000     University of Virginia      3.570   04/01/45   17,656 
 5,000,000     Vermont Educational & Health Buildings Financing Agency      4.000   12/01/42   5,119 
 3,000,000     Vermont Educational & Health Buildings Financing Agency      4.000   12/01/46   3,063 
 12,710,000  g  Virgin Islands Water & Power Authority-Electric System      5.500   11/15/18   12,680 
 1,000,000     Washington County Clean Water Services      5.078   10/01/24   1,091 
 695,000     Water Works Board of the City of Birmingham      1.509   01/01/19   691 
 2,470,000     Water Works Board of the City of Birmingham      1.788   01/01/20   2,430 
 3,750,000     Water Works Board of the City of Birmingham      1.988   01/01/21   3,648 
 3,100,000     Water Works Board of the City of Birmingham      2.192   01/01/22   2,993 
 600,000     West Virginia Water Development Authority      5.000   11/01/21   656 
 1,345,000     West Virginia Water Development Authority      5.000   11/01/22   1,500 
 1,000,000     West Virginia Water Development Authority      5.000   11/01/23   1,136 
       TOTAL MUNICIPAL BONDS              664,504 
                        
U.S. TREASURY SECURITIES - 2.0%                
 6,000,000     United States Treasury Bond      3.125   02/15/43   6,151 
 1,000,000     United States Treasury Bond      3.375   05/15/44   1,070 
 66,090,000     United States Treasury Bond      2.875   11/15/46   64,647 
 88,925,000     United States Treasury Bond      3.000   05/15/47   89,088 
 675,000     United States Treasury Bond      3.000   02/15/48   677 
 2,750,000     United States Treasury Note      1.250   04/30/19   2,726 
388

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$40,000     United States Treasury Note      1.375%  09/30/19  $39 
 1,000,000     United States Treasury Note      2.000   01/31/20   992 
 5,750,000     United States Treasury Note      1.625   03/15/20   5,664 
 13,285,000     United States Treasury Note      1.375   05/31/21   12,820 
 12,480,000     United States Treasury Note      2.625   06/15/21   12,481 
 4,150,000     United States Treasury Note      2.000   07/31/22   4,037 
 4,500,000     United States Treasury Note      1.750   09/30/22   4,327 
 12,234,500     United States Treasury Note      1.625   11/15/22   11,686 
 13,130,000     United States Treasury Note      1.750   01/31/23   12,579 
 5,200,000     United States Treasury Note      1.500   03/31/23   4,916 
 1,500,000     United States Treasury Note      1.375   09/30/23   1,399 
 3,200,000     United States Treasury Note      1.625   10/31/23   3,020 
 2,500,000     United States Treasury Note      2.250   10/31/24   2,420 
 26,250,000     United States Treasury Note      2.125   11/30/24   25,201 
 4,500,000     United States Treasury Note      2.750   02/28/25   4,483 
 6,539,000     United States Treasury Note      2.875   05/15/28   6,549 
       TOTAL U.S. TREASURY SECURITIES           276,972 
                        
       TOTAL GOVERNMENT BONDS           3,098,495 
       (Cost $3,130,801)                
                        
STRUCTURED ASSETS - 3.8%                
                        
ASSET BACKED - 1.9%                
 4,000,000  g  Capital Automotive REIT      3.660   10/15/44   3,955 
       Series - 2014 1A (Class A)                
 3,953,333  g  Capital Automotive REIT      3.870   04/15/47   3,944 
       Series - 2017 1A (Class A1)                
 4,001,302  i  Chase Funding Loan Acquisition Trust  LIBOR 1 M + 0.855%   2.946   06/25/34   3,879 
       Series - 2004 OPT1 (Class M1)                
 2,985,000  g  DB Master Finance LLC      3.629   11/20/47   2,931 
       Series - 2017 1A (Class A2I)                
 882,000  g  Domino’s Pizza Master Issuer LLC      4.474   10/25/45   904 
       Series - 2015 1A (Class A2II)                
 12,009,250  g  Domino’s Pizza Master Issuer LLC      3.082   07/25/47   11,640 
       Series - 2017 1A (Class A2II)                
 1,600,000  g  Domino’s Pizza Master Issuer LLC      4.116   07/25/48   1,617 
       Series - 2018 1A (Class A2I)                
 9,857,459  †,g  HERO Funding Trust      3.840   09/21/40   10,098 
       Series - 2015 1A (Class A)                
 2,364,270  †,g  HERO Funding Trust      3.990   09/21/40   2,427 
       Series - 2014 2A (Class A)                
 4,725,226  g  HERO Funding Trust      3.750   09/20/41   4,757 
       Series - 2016 2A (Class A)                
 4,480,711  g  HERO Funding Trust      4.050   09/20/41   4,583 
       Series - 2016 1A (Class A)                
 1,769,575  g  HERO Funding Trust      3.080   09/20/42   1,740 
       Series - 2016 3A (Class A1)                
 10,991,055  g  HERO Funding Trust      3.710   09/20/47   10,929 
       Series - 2017 1A (Class A1)                
 10,712,527  g  HERO Funding Trust      3.190   09/20/48   10,357 
       Series - 2017 3A (Class A1)                
389

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$2,653,746  g  HERO Funding Trust      3.280%  09/20/48  $2,619 
       Series - 2017 2A (Class A1)                
 11,676,180  g  HERO Funding Trust      4.670   09/20/48   12,020 
       Series - 2018 1A (Class A2)                
 971,143  †,g  HERO Residual Funding      4.500   09/21/42   966 
       Series - 2016 1R (Class A1)                
 572,068  i  Lehman XS Trust  LIBOR 1 M + 0.250%   2.341   02/25/36   571 
       Series - 2006 1 (Class 1A1)                
 8,411,600  g  Mosaic Solar Loans LLC      3.820   09/20/42   8,354 
       Series - 2017 2A (Class A)                
 3,227,721  g  MVW Owner Trust      2.420   12/20/34   3,147 
       Series - 2017 1A (Class A)                
 5,865,905  g  Renew      3.670   09/20/52   5,822 
       Series - 2017 1A (Class A)                
 13,000,000  †,g  Renew      3.950   09/20/53   12,995 
       Series - 2018 1 (Class A)                
 655,416     Santander Drive Auto Receivables Trust      2.740   12/15/21   656 
       Series - 2015 5 (Class C)                
 521,206  g  Sierra Timeshare Receivables Funding LLC      2.580   09/20/32   518 
       Series - 2015 3A (Class A)                
 368,778  g  Sierra Timeshare Receivables Funding LLC      3.080   09/20/32   367 
       Series - 2015 3A (Class B)                
 5,092,279  g  SolarCity LMC      4.590   04/20/44   5,075 
       Series - 2014 1 (Class A)                
 25,043,851  †,g  SolarCity LMC      4.020   07/20/44   23,496 
       Series - 2014 2 (Class A)                
 5,320,514  g  SolarCity LMC      4.800   09/20/48   5,228 
       Series - 2016 A (Class A)                
 2,808,625  g  SpringCastle America Funding LLC      3.050   04/25/29   2,798 
       Series - 2016 AA (Class A)                
 3,048,093  i  Structured Asset Securities Corp Mortgage Loan Trust  LIBOR 1 M + 1.500%   3.483   04/25/35   2,983 
       Series - 2005 7XS (Class 2A1A)                
 11,841,444  g  TES LLC      4.330   10/20/47   11,716 
       Series - 2017 1A (Class A)                
 2,500,000  g  TES LLC      7.740   10/20/47   2,558 
       Series - 2017 1A (Class B)                
 9,766,445  g  TES LLC      4.120   02/20/48   9,550 
       Series - 2017 2A (Class A)                
 15,767,596  g  Tesla Auto Lease Trust      2.320   12/20/19   15,716 
       Series - 2018 A (Class A)                
 498,668     Toyota Auto Receivables Owner Trust      1.270   05/15/19   498 
       Series - 2015 B (Class A3)                
 13,038,146     Toyota Auto Receivables Owner Trust      1.300   04/15/20   12,970 
       Series - 2016 B (Class A3)                
 22,500,000     Toyota Auto Receivables Owner Trust      1.740   09/15/20   22,434 
       Series - 2015 B (Class A4)                
 15,000,000  †,g  Vivint Colar Financing V LLC      4.730   04/30/48   14,995 
       Series - 2018 1A (Class A)                
 2,793,867  g  VOLT LVIII LLC (Step Bond)      3.375   05/28/47   2,789 
       Series - 2017 NPL5 (Class A1)                
 2,500,000  g  VOLT LVIII LLC (Step Bond)      5.375   05/28/47   2,492 
       Series - 2017 NPL5 (Class A2)                
 2,803,417  g  VOLT LXIII LLC (Step Bond)      3.000   10/25/47   2,774 
       Series - 2017 NP10 (Class A1)                
390

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$4,500,000  g  VOLT LXIII LLC (Step Bond)      4.625%  10/25/47  $4,467 
       Series - 2017 NP10 (Class A2)                
 297,715  g  Wachovia Amortization Controlled Heloc NIM      5.683   08/12/47   292 
       Series - 2006 N1 (Class N1)                
 146,258  g,i  Wachovia Loan Trust  LIBOR 1 M + 0.360%   2.451   05/25/35   146 
       Series - 2005 SD1 (Class A)                
 2,985,000  g  Wendys Funding LLC      3.573   03/15/48   2,903 
       Series - 2018 1A (Class A2I)                
       TOTAL ASSET BACKED              267,676 
                        
OTHER MORTGAGE BACKED - 1.9%                
 811,949  g  Banc of America Commercial Mortgage Trust      5.416   01/15/49   814 
       Series - 2007 1 (Class AM)                
 2,000,000  g,i  Banc of America Commercial Mortgage Trust      6.038   02/10/51   1,983 
       Series - 2007 5 (Class B)                
 12,500,000  g  BBCMS Trust      3.593   09/15/32   12,560 
       Series - 2015 MSQ (Class A)                
 6,000,000  g  BBCMS Trust      3.894   09/15/32   6,018 
       Series - 2015 MSQ (Class B)                
 2,000,000  i  CD Commercial Mortgage Trust      3.879   11/10/49   1,971 
       Series - 2016 CD2 (Class B)                
 5,000,000  g,i  Cityline Commercial Mortgage Trust      2.871   11/10/31   4,828 
       Series - 2016 CLNE (Class A)                
 4,301,039  i  COBALT CMBS Commercial Mortgage Trust      6.015   05/15/46   4,386 
       Series - 2007 C3 (Class AJ)                
 2,750,000  g,i  COMM Mortgage Trust      3.528   10/10/29   2,677 
       Series - 2017 PANW (Class B)                
 7,500,000  g,i  COMM Mortgage Trust      3.712   10/10/29   7,276 
       Series - 2017 PANW (Class C)                
 10,761,000  g  COMM Mortgage Trust      3.544   03/10/31   10,887 
       Series - 2013 WWP (Class C)                
 925,000  g,i  COMM Mortgage Trust      4.950   08/10/46   965 
       Series - 2013 CR10 (Class B)                
 5,000,000  i  Connecticut Avenue Securities  LIBOR 1 M + 4.250%   6.341   01/25/29   5,658 
       Series - 2016 C04 (Class 1M2)                
 2,250,000  i  Connecticut Avenue Securities  LIBOR 1 M + 4.450%   6.541   01/25/29   2,506 
       Series - 2016 C05 (Class 2M2)                
 2,349,678  i  Connecticut Avenue Securities  LIBOR 1 M + 0.950%   3.041   10/25/29   2,363 
       Series - 2017 C03 (Class 1M1)                
 863,018  i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   2.941   11/25/29   866 
       Series - 2017 C04 (Class 2M1)                
 22,300  i  Connecticut Avenue Securities  LIBOR 1 M + 0.750%   2.841   02/25/30   22 
       Series - 2017 C06 (Class 1M1)                
 2,725,597  i  Connecticut Avenue Securities  LIBOR 1 M + 0.600%   2.691   07/25/30   2,722 
       Series - 2018 C01 (Class 1M1)                
 1,750,000  i  Connecticut Avenue Securities  LIBOR 1 M + 3.550%   5.641   07/25/30   1,717 
       Series - 2018 C01 (Class 1B1)                
 6,000,000  i  Connecticut Avenue Securities  LIBOR 1 M + 2.200%   3.965   08/25/30   5,978 
       Series - 2018 C02 (Class 2M2)                
 2,000,000  i  Connecticut Avenue Securities  LIBOR 1 M + 4.000%   5.897   08/25/30   1,975 
       Series - 2018 C02 (Class 2B1)                
 2,645,943  i  Connecticut Avenue Securities  LIBOR 1 M + 0.680%   2.771   10/25/30   2,645 
       Series - 2018 C03 (Class 1M1)                
391

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$350,000  †,i  Connecticut Avenue Securities  LIBOR 1 M + 0.750%   2.852%  12/25/30  $350 
       Series - 2018 C04 (Class 2M1)                
 2,000,000  g  Credit Suisse Mortgage Capital Certificates      5.626   05/15/23   2,049 
       Series - 2006 OMA (Class D)                
 6,650,000  g,i  CSAIL Commercial Mortgage Trust      3.800   06/15/37   6,529 
       Series - 2017 C8 (Class 85BA)                
 8,750,000  g,i  CSAIL Commercial Mortgage Trust      3.800   06/15/37   8,540 
       Series - 2017 C8 (Class 85BB)                
 5,000,000  g,i  CSMC Trust      3.854   11/10/32   4,958 
       Series - 2017 CALI (Class B)                
 1,715,000  g,i  DBUBS Mortgage Trust      5.884   11/10/46   1,793 
       Series - 2011 LC1A (Class C)                
 3,500,000  i  Federal National Mortgage Association (FNMA)      3.325   06/25/28   3,471 
       Series - 2018 M8 (Class A2)                
 7,293,200  g,i  Flagstar Mortgage Trust      4.000   05/25/48   7,271 
       Series - 2018 3INV (Class A3)                
 3,660,000  i  GMAC Commercial Mortgage Securities, Inc      4.984   12/10/41   3,659 
       Series - 2004 C3 (Class C)                
 10,000,000  g  GRACE Mortgage Trust      3.369   06/10/28   10,044 
       Series - 2014 GRCE (Class A)                
 2,535,000  g,i  GS Mortgage Securities Corp II      5.355   12/10/43   2,625 
       Series - 2010 C2 (Class B)                
 5,000,000  g  Hudson Yards Mortgage Trust      2.835   08/10/38   4,689 
       Series - 2016 10HY (Class A)                
 5,000,000  g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   4,693 
       Series - 2016 10HY (Class B)                
 5,000,000  g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   4,638 
       Series - 2016 10HY (Class C)                
 374,404  i  Impac CMB Trust  LIBOR 1 M + 0.660%   2.751   03/25/35   359 
       Series - 2004 11 (Class 2A1)                
 3,025,000  g,i  JP Morgan Chase Commercial Mortgage Securities Trust      5.522   07/15/46   3,164 
       Series - 2011 C4 (Class C)                
 10,273,039  i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.160%   2.251   06/25/37   10,091 
       Series - 2007 CH5 (Class A1)                
 634,284  g,i  JP Morgan Mortgage Trust      3.500   05/25/45   617 
 1,115,481  g,i  JP Morgan Mortgage Trust      3.500   10/25/45   1,086 
 1,301,991  g,i  JP Morgan Mortgage Trust      3.500   05/25/46   1,266 
 187,758  g,i  JP Morgan Mortgage Trust      3.500   01/25/47   186 
       Series - 2017 1 (Class A3)                
 5,469,053  g,i  JP Morgan Mortgage Trust      3.500   05/25/47   5,363 
       Series - 2017 2 (Class A3)                
 785,209  g,i  JP Morgan Mortgage Trust      3.500   05/25/47   769 
       Series - 2017 2 (Class A13)                
 2,301,862  g,i  JP Morgan Mortgage Trust      3.500   08/25/47   2,274 
       Series - 2017 3 (Class 1A5)                
 2,220,000  g,i  JP Morgan Mortgage Trust      3.500   12/25/48   2,193 
       Series - 2018 6 (Class 1A3)                
 44,315  i  LB-UBS Commercial Mortgage Trust      6.114   07/15/40   44 
       Series - 2007 C6 (Class AM)                
 4,000,000  g,i  MAD Mortgage Trust      3.478   08/15/34   3,909 
       Series - 2017 330M (Class B)                
 2,251,951  i  ML-CFC Commercial Mortgage Trust      5.526   03/12/51   2,268 
       Series - 2007 6 (Class AM)                
392

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER   REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE
(000)
 
                        
$21,000,000  g  Morgan Stanley Capital I Trust      3.350%  07/13/29  $21,070 
       Series - 2014 CPT (Class A)                
 818,134  i  Morgan Stanley Capital I Trust      5.389   11/12/41   816 
       Series - 2006 HQ10 (Class AJ)                
 155,795  i  Morgan Stanley Capital I Trust      6.366   10/15/42   155 
       Series - 2006 IQ11 (Class AJ)                
 570,342  i  Morgan Stanley Capital I Trust      6.285   06/11/49   576 
       Series - 2007 IQ15 (Class AJ)                
 2,011,292  i  Morgan Stanley Capital I Trust      6.376   12/12/49   1,524 
       Series - 2007 IQ16 (Class AJFX)                
 5,000,000  g,i  MSDB Trust      3.427   07/11/39   4,809 
       Series - 2017 712F (Class A)                
 17,385,000  g  OBP Depositor LLC Trust      4.646   07/15/45   17,816 
       Series - 2010 OBP (Class A)                
 695,108  g,i  Sequoia Mortgage Trust      3.500   11/25/46   690 
       Series - 2016 3 (Class A10)                
 4,340,165  g,i  Sequoia Mortgage Trust      3.000   08/25/47   4,255 
       Series - 2017 5 (Class A5)                
 2,700,300  g,i  Sequoia Mortgage Trust      3.500   05/25/48   2,672 
       Series - 2018 5 (Class A4)                
 1,681,528  g,i  Sequoia Mortgage Trust      4.000   06/25/48   1,687 
       Series - 2018 CH2 (Class A21)                
 2,400,000  g  Sequoia Mortgage Trust      4.000   07/25/48   2,416 
 564,295  i  Shellpoint Co Originator Trust      3.500   11/21/46   559 
 1,761,373  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 2.200%   4.291   03/25/25   1,769 
       Series - 2015 HQ1 (Class M2)                
 750,000  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 3.800%   5.891   03/25/25   804 
       Series - 2015 HQ1 (Class M3)                
 1,750,000  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 1.350%   3.441   03/25/29   1,776 
       Series - 2016 HQA3 (Class M2)                
 284,036  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 1.200%   3.291   07/25/29   286 
       Series - 2017 DNA1 (Class M1)                
 3,861,388  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 1.200%   3.291   10/25/29   3,904 
       Series - 2017 DNA2 (Class M1)                
 183,439  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 0.800%   1.959   12/25/29   184 
       Series - 2017 HQA2 (Class M1)                
 8,000,000  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 1.800%   3.891   07/25/30   7,867 
       Series - 2018 DNA1 (Class M2)                
 3,000,000  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 3.150%   5.241   07/25/30   2,869 
       Series - 2018 DNA1 (Class B1)                
 1,925,000  g,i  Structured Agency Credit Risk Debt Note (STACR)      3.820   05/25/48   1,926 
       Series - 2018 SPI2 (Class M1)                
 3,000,000  i  Wachovia Bank Commercial Mortgage Trust      6.214   05/15/46   3,053 
       Series - 2007 C34 (Class B)                
 1,071,608  i  Wachovia Bank Commercial Mortgage Trust      6.309   05/15/46   1,090 
       Series - 2007 C34 (Class AJ)                
 1,650,000  i  Wachovia Bank Commercial Mortgage Trust      6.384   05/15/46   1,686 
       Series - 2007 C34 (Class C)                
 777,093  i  Wachovia Bank Commercial Mortgage Trust      5.660   04/15/47   780 
       Series - 2007 C31 (Class AJ)                
 909,445  i  Wachovia Bank Commercial Mortgage Trust      6.057   06/15/49   919 
       Series - 2007 C32 (Class AJ)                
 254,437  i  Wachovia Bank Commercial Mortgage Trust      6.209   02/15/51   261 
       Series - 2007 C33 (Class AM)                
393

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

      ISSUER  
 
    
 
  VALUE
(000)
 
                        
       TOTAL OTHER MORTGAGE BACKED             $267,934 
                        
       TOTAL STRUCTURED ASSETS              535,610 
       (Cost $543,254)                
                        
       TOTAL BONDS              5,521,502 
       (Cost $5,605,189)                
                        
SHARES     COMPANY               
                        
COMMON STOCKS - 59.0%                
                        
AUTOMOBILES & COMPONENTS - 1.0%                
 148,800     Aisin Seiki Co Ltd              6,775 
 80,527  *  American Axle & Manufacturing Holdings, Inc           1,253 
 562  e  Autoliv, Inc              80 
 123,868     Bayerische Motoren Werke AG.              11,197 
 3,491     BorgWarner, Inc              151 
 261,200     Bridgestone Corp              10,203 
 77,183     Delphi Automotive plc              7,072 
 203,582     Denso Corp              9,934 
 97,691     Harley-Davidson, Inc              4,111 
 479,880     Honda Motor Co Ltd              14,071 
 350,800     Isuzu Motors Ltd              4,651 
 163,362     Magna International, Inc              9,501 
 56,903     Michelin (C.G.D.E.) (Class B)              6,884 
 7,033  *  Modine Manufacturing Co              128 
 13,300     NGK Spark Plug Co Ltd              378 
 60,600     NOK Corp              1,170 
 378,978     Peugeot S.A.              8,635 
 100,987  e  Renault S.A.              8,556 
 137,000  e  Sumitomo Rubber Industries, Inc              2,172 
 72,955  *,e  Tesla, Inc              25,020 
 60,000     Toyoda Gosei Co Ltd              1,519 
 334  *  Visteon Corp              43 
 109,500  e  Yokohama Rubber Co Ltd              2,271 
       TOTAL AUTOMOBILES & COMPONENTS           135,775 
                        
BANKS - 4.7%                   
 20,740     Ameris Bancorp              1,106 
 73,916     Associated Banc-Corp              2,018 
 806,509  e  Australia & New Zealand Banking Group Ltd           16,880 
 4,087,549     Banca Intesa S.p.A.              11,826 
 1,214,557     Banca Intesa S.p.A. RSP              3,670 
 2,060     Bancfirst Corp              122 
 1,929,911     Banco Bilbao Vizcaya Argentaria S.A.              13,611 
 1,237,197     Banco de Sabadell S.A.              2,066 
 817,660     Bank Hapoalim Ltd              5,543 
 841,607     Bank Leumi Le-Israel              4,980 
 2,917,323     Bank of America Corp              82,239 
 1,030     Bank of Hawaii Corp              86 
 190,229     Bank of Montreal              14,704 
 309,455     Bank of Nova Scotia              17,522 
394

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 3,264     Bank of the Ozarks, Inc   $147 
 3,730     BankUnited    152 
 7,546     Banner Corp    454 
 658,903     BB&T Corp    33,235 
 356     Bendigo Bank Ltd    3 
 13,069     Berkshire Hills Bancorp, Inc    531 
 1,991,000     BOC Hong Kong Holdings Ltd    9,358 
 900     BOK Financial Corp    85 
 6,533     Brookline Bancorp, Inc    121 
 8,589     Bryn Mawr Bank Corp    398 
 1,795,908     CaixaBank S.A.    7,730 
 19,106     Camden National Corp    873 
 87,694     Canadian Imperial Bank of Commerce    7,628 
 9,281     Chemical Financial Corp    517 
 702,018     Citizens Financial Group, Inc    27,308 
 2,120     Columbia Banking System, Inc    87 
 214,173     Comerica, Inc    19,473 
 31,139     Commerce Bancshares, Inc    2,015 
 410,761  *  Commerzbank AG.    3,918 
 403,329  e  Commonwealth Bank of Australia    21,753 
 889     Community Trust Bancorp, Inc    44 
 9,015     Cullen/Frost Bankers, Inc    976 
 35,598  *  Customers Bancorp, Inc    1,010 
 622,793     DBS Group Holdings Ltd    12,111 
 289,370     DNB NOR Holding ASA    5,635 
 39,046  *  FCB Financial Holdings, Inc    2,296 
 11,562     Federal Agricultural Mortgage Corp (Class C)    1,035 
 271,685     Fifth Third Bancorp    7,797 
 21,395     First Commonwealth Financial Corp    332 
 6,726     First Financial Bancorp    206 
 14,113  e  First Financial Bankshares, Inc    718 
 1,399     First Financial Corp    63 
 17,761     First Interstate Bancsystem, Inc    750 
 14,541     First Merchants Corp    675 
 35,610     First Republic Bank    3,447 
 16,186     FNB Corp    217 
 2,590     Glacier Bancorp, Inc    100 
 5,441     Hancock Holding Co    254 
 413,500     Hang Seng Bank Ltd    10,325 
 16,503     Heartland Financial USA, Inc    905 
 9,347     Heritage Financial Corp    326 
 24,702  *  HomeStreet, Inc    666 
 21,937  *  HomeTrust Bancshares, Inc    618 
 4,198     Huntington Bancshares, Inc    62 
 6,451     Independent Bank Corp (MA)    506 
 1,029,939     ING Groep NV    14,784 
 1,147     International Bancshares Corp    49 
 136,208     Investors Bancorp, Inc    1,742 
 125,286     KBC Groep NV    9,622 
 1,198,939     Keycorp    23,427 
 2,791     Live Oak Bancshares, Inc    86 
 167,244     M&T Bank Corp    28,457 
 1,800     MB Financial, Inc    84 
 58,589  *  MGIC Investment Corp    628 
395

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 212,400     Mitsui Trust Holdings, Inc   $8,380 
 7,498     Mizrahi Tefahot Bank Ltd    138 
 747,128  e  National Australia Bank Ltd    15,170 
 9,872     National Bank Holdings Corp    381 
 7,259  e  National Bank of Canada    349 
 3,324     NBT Bancorp, Inc    127 
 121,203     New York Community Bancorp, Inc    1,338 
 1,138,434     Nordea Bank AB    10,921 
 54,855     Northfield Bancorp, Inc    912 
 1,532     OceanFirst Financial Corp    46 
 65,374  e  OFG Bancorp    918 
 19,038     Old National Bancorp    354 
 15,649     Opus Bank    449 
 21,876     PacWest Bancorp    1,081 
 14,998     People’s United Financial, Inc    271 
 22,319     Pinnacle Financial Partners, Inc    1,369 
 295,930     PNC Financial Services Group, Inc    39,980 
 820     Prosperity Bancshares, Inc    56 
 988,195     Regions Financial Corp    17,570 
 993,900     Resona Holdings, Inc    5,297 
 500,485     Skandinaviska Enskilda Banken AB (Class A)    4,737 
 1,216,485     Standard Chartered plc    11,050 
 7,921     State Bank & Trust Co    265 
 8,646     Stock Yards Bancorp, Inc    330 
 370,800     Sumitomo Mitsui Financial Group, Inc    14,463 
 30,362  *  SVB Financial Group    8,767 
 543,519     Svenska Handelsbanken AB    6,020 
 394,873     Swedbank AB (A Shares)    8,413 
 800  *  Texas Capital Bancshares, Inc    73 
 6,965     TFS Financial Corp    110 
 50,351  *  The Bancorp, Inc    527 
 413,915     Toronto-Dominion Bank    23,957 
 2,462     Trico Bancshares    92 
 17,930  *  Tristate Capital Holdings, Inc    468 
 1,700     Trustmark Corp    55 
 9,293     UMB Financial Corp    708 
 33,564     Umpqua Holdings Corp    758 
 19,739     Union Bankshares Corp    767 
 17,156     United Bankshares, Inc    624 
 5,260     Univest Corp of Pennsylvania    145 
 14,406     Webster Financial Corp    918 
 3,410     WesBanco, Inc    154 
 3,019     Westamerica Bancorporation    171 
 51,005  *  Western Alliance Bancorp    2,887 
 857,066  e  Westpac Banking Corp    18,613 
 1,110     Wintrust Financial Corp    97 
 1,706     WSFS Financial Corp    91 
 39,949     Zions Bancorporation    2,105 
       TOTAL BANKS    654,584 
              
CAPITAL GOODS - 4.5%      
 255,196     3M Co    50,202 
 15,208     A.O. Smith Corp    900 
396

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 575,120     ABB Ltd   $12,546 
 881     Acuity Brands, Inc    102 
 533     AGCO Corp    32 
 40,183     Air Lease Corp    1,687 
 429     Allegion plc    33 
 14,787     Argan, Inc    606 
 456  *  Armstrong World Industries, Inc    29 
 48,946     Assa Abloy AB    1,038 
 195,793     Atlas Copco AB (A Shares)    5,670 
 177,580     Atlas Copco AB (B-Shares)    4,626 
 4,544  *  Axon Enterprise, Inc    287 
 68,269     Barnes Group, Inc    4,021 
 2,120  *  Beacon Roofing Supply, Inc    90 
 54,799     Brenntag AG.    3,045 
 28,642     Briggs & Stratton Corp    504 
 73,289  *  Builders FirstSource, Inc    1,340 
 160,557     Bunzl plc    4,849 
 574     Carlisle Cos, Inc    62 
 258,513     Caterpillar, Inc    35,072 
 16,918  *  Chart Industries, Inc    1,044 
 677,057     CNH Industrial NV    7,152 
 77,815     Cummins, Inc    10,349 
 99,100     Daikin Industries Ltd    11,844 
 63,779     DCC plc    5,783 
 161,551     Deere & Co    22,585 
 888     Donaldson Co, Inc    40 
 22,188     Dover Corp    1,624 
 19,624  *  DXP Enterprises, Inc    750 
 283,883     Eaton Corp    21,217 
 12,936     Eiffage S.A.    1,405 
 4,718     EMCOR Group, Inc    359 
 177,580  *  Epiroc AB    1,626 
 195,793  *  Epiroc AB    2,055 
 78,795  *  Esterline Technologies Corp    5,815 
 145,928     Fastenal Co    7,024 
 127,972     Ferguson plc    10,354 
 978     Flowserve Corp    40 
 68,406     Fortive Corp    5,275 
 856     Fortune Brands Home & Security, Inc    46 
 3,384     Graco, Inc    153 
 8,102     H&E Equipment Services, Inc    305 
 80,914     Hexcel Corp    5,371 
 115,000     Hino Motors Ltd    1,226 
 97,900     Hitachi Construction Machinery Co Ltd    3,174 
 16,669     Hochtief AG.    3,006 
 288     Hubbell, Inc    30 
 386     IDEX Corp    53 
 246,905     Illinois Tool Works, Inc    34,206 
 134,441     Ingersoll-Rand plc    12,063 
 477,055     Johnson Controls International plc    15,958 
 607,000     Kajima Corp    4,690 
 55,200     Kawasaki Heavy Industries Ltd    1,624 
 1,335,270     Keppel Corp Ltd    6,985 
 196,578  *,e  KEYW Holding Corp, The    1,718 
397

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 353,100     Komatsu Ltd   $10,052 
 566,200     Kubota Corp    8,887 
 59,117     L3 Technologies, Inc    11,369 
 364     Lennox International, Inc    73 
 398,390     Masco Corp    14,908 
 504,170     Meggitt plc    3,272 
 492,600     Mitsubishi Corp    13,659 
 653,200     Mitsui & Co Ltd    10,877 
 563     MSC Industrial Direct Co (Class A)    48 
 1,510     MTU Aero Engines Holding AG.    289 
 8,124  *  MYR Group, Inc    288 
 83,000     NGK Insulators Ltd    1,475 
 333,800     Obayashi Corp    3,466 
 358     Oshkosh Truck Corp    25 
 68,619     Osram Licht AG.    2,795 
 386     Owens Corning, Inc    24 
 119,987     PACCAR, Inc    7,434 
 58,416     Parker-Hannifin Corp    9,104 
 184,808  *,e  Plug Power, Inc    373 
 116,876  *  Quanta Services, Inc    3,904 
 247,163     Rexel S.A.    3,548 
 50,348     Rockwell Automation, Inc    8,369 
 248,902     Rockwell Collins, Inc    33,522 
 52,210     Roper Industries, Inc    14,405 
 17,377  *  Rush Enterprises, Inc (Class A)    754 
 171,627     Schneider Electric S.A.    14,274 
 28,778  *  Sensata Technologies Holding plc    1,369 
 386,200     Shimizu Corp    3,997 
 170,044     Siemens AG.    22,404 
 7,999     Snap-On, Inc    1,286 
 64,773     Spirit Aerosystems Holdings, Inc (Class A)    5,565 
 10,084     Stanley Works    1,339 
 72,127  *  Teledyne Technologies, Inc    14,358 
 22,276  *  Titan Machinery, Inc    346 
 29,500     Toto Ltd    1,365 
 197,700     Toyota Tsusho Corp    6,607 
 68,669     TransDigm Group, Inc    23,700 
 1,172     Travis Perkins plc    22 
 29,026  *  United Rentals, Inc    4,285 
 10,935  *  Veritiv Corp    436 
 43,367     Vestas Wind Systems AS    2,677 
 292,944     Volvo AB (B Shares)    4,656 
 16,868     W.W. Grainger, Inc    5,202 
 34,781     Wabash National Corp    649 
 137  *  WABCO Holdings, Inc    16 
 366,312     Wartsila Oyj (B Shares)    7,171 
 3,753  *  Welbilt, Inc    84 
 254,633  *  Wesco Aircraft Holdings, Inc    2,865 
 698  *  WESCO International, Inc    40 
 19,775     Woodward Governor Co    1,520 
 8,176  e  WSP Global, Inc    431 
 46,643     Xylem, Inc    3,143 
       TOTAL CAPITAL GOODS    626,417 
398

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
COMMERCIAL & PROFESSIONAL SERVICES - 0.7%      
 2,604     ABM Industries, Inc   $76 
 49,764     ACCO Brands Corp    689 
 25,543     Adecco S.A.    1,507 
 248,743     Brambles Ltd    1,633 
 16,143  *  Cimpress NV    2,340 
 272,119  *  Copart, Inc    15,391 
 37,478     Exponent, Inc    1,810 
 12,422     Heidrick & Struggles International, Inc    435 
 11,793     ICF International, Inc    838 
 314,230  *  IHS Markit Ltd    16,211 
 31,165     Insperity, Inc    2,969 
 126,205     Intertek Group plc    9,490 
 1,600     KAR Auction Services, Inc    88 
 16,221     Kelly Services, Inc (Class A)    364 
 7,947     Kforce, Inc    273 
 15,748     Manpower, Inc    1,355 
 38,808  *,†,m  Media General, Inc    0 
 23,089  *  Mistras Group, Inc    436 
 2,100     Mobile Mini, Inc    99 
 44,324  *  Navigant Consulting, Inc    981 
 1,000  *  On Assignment, Inc    78 
 10,610     Pitney Bowes, Inc    91 
 90,200     Recruit Holdings Co Ltd    2,491 
 21,731     Resources Connection, Inc    367 
 116,010     Robert Half International, Inc    7,552 
 1,100     Secom Co Ltd    84 
 3,754     SGS S.A.    9,975 
 1,544  *  SP Plus Corp    58 
 66,652  *,e  Team, Inc    1,540 
 9,438     Tetra Tech, Inc    552 
 166,614     TransUnion    11,936 
 23,633     Viad Corp    1,282 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES    92,991 
              
CONSUMER DURABLES & APPAREL - 1.1%      
 48,541     Adidas-Salomon AG.    10,568 
 497,409     Barratt Developments plc    3,372 
 30,182     Berkeley Group Holdings plc    1,504 
 232,096     Burberry Group plc    6,596 
 83,671     Callaway Golf Co    1,587 
 224     Carter’s, Inc    24 
 20,968  *  Century Communities, Inc    662 
 20,506     Ethan Allen Interiors, Inc    502 
 92,506  *,e  Fossil Group, Inc    2,486 
 709     Garmin Ltd    43 
 24,584  e  Hanesbrands, Inc    541 
 804     Hasbro, Inc    74 
 15,890  *,e  iRobot Corp    1,204 
 32,156     Lennar Corp (Class A)    1,688 
 4,521  *,e  LGI Homes, Inc    261 
 13,857  *  Lululemon Athletica, Inc    1,730 
399

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 120,304  e  Mattel, Inc   $1,975 
 34,564  *  Meritage Homes Corp    1,519 
 666  *  Michael Kors Holdings Ltd    44 
 24,650  *  Mohawk Industries, Inc    5,282 
 19,825     Movado Group, Inc    958 
 275,275     Newell Rubbermaid, Inc    7,099 
 649,655     Nike, Inc (Class B)    51,765 
 10  *  NVR, Inc    30 
 827,400     Panasonic Corp    11,157 
 14,720     Pandora AS    1,026 
 201     Pool Corp    31 
 646     PVH Corp    97 
 22,100     Sekisui Chemical Co Ltd    376 
 373,500     Sekisui House Ltd    6,601 
 64,300  e  Sharp Corp    1,564 
 327,600     Sony Corp    16,778 
 750     Tapestry, Inc    35 
 762,926     Taylor Wimpey plc    1,796 
 762,500     Techtronic Industries Co    4,235 
 372  *,e  Tempur Sealy International, Inc    18 
 273     Toll Brothers, Inc    10 
 279     Tupperware Corp    12 
 83,606  *,e  Under Armour, Inc    1,762 
 170,931  *,e  Under Armour, Inc (Class A)    3,843 
 18,549  *  Unifi, Inc    588 
 73,202     VF Corp    5,967 
 10,849     Whirlpool Corp    1,586 
       TOTAL CONSUMER DURABLES & APPAREL    158,996 
              
CONSUMER SERVICES - 1.3%      
 138,079     Accor S.A.    6,763 
 15,319  *  American Public Education, Inc    645 
 71,614     ARAMARK Holdings Corp    2,657 
 5,746  *  Bright Horizons Family Solutions    589 
 19,899     Carriage Services, Inc    488 
 44,849     Choice Hotels International, Inc    3,391 
 564,363     Compass Group plc    12,030 
 53,679     Darden Restaurants, Inc    5,747 
 676     Dunkin Brands Group, Inc    47 
 3,355  *  El Pollo Loco Holdings, Inc    38 
 1,543     H&R Block, Inc    35 
 183,239     Hilton Worldwide Holdings, Inc    14,505 
 26,982  *  Houghton Mifflin Harcourt Co    206 
 29,678     ILG, Inc    980 
 140,104     InterContinental Hotels Group plc    8,710 
 258,179     Marriott International, Inc (Class A)    32,685 
 653,836  g  Merlin Entertainments plc    3,334 
 87,086  *  Norwegian Cruise Line Holdings Ltd    4,115 
 101,100     Oriental Land Co Ltd    10,600 
 98,533     Royal Caribbean Cruises Ltd    10,208 
 55,231     Service Corp International    1,977 
 76,796  *  ServiceMaster Global Holdings, Inc    4,567 
 1,172,000     Shangri-La Asia Ltd    2,196 
 635  e  Six Flags Entertainment Corp    44 
400

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 803,612     Starbucks Corp   $39,256 
 256,169     TUI AG. (DI)    5,603 
 15,174     Vail Resorts, Inc    4,161 
 3,787     Wendy’s    65 
 130,649     Whitbread plc    6,810 
       TOTAL CONSUMER SERVICES    182,452 
              
DIVERSIFIED FINANCIALS - 3.3%      
 717,999     3i Group plc    8,501 
 90,800     AEON Financial Service Co Ltd    1,935 
 78,780     Ally Financial, Inc    2,070 
 443,362     American Express Co    43,449 
 34,715     Ameriprise Financial, Inc    4,856 
 1,444,992     AMP Ltd    3,801 
 697,270     Bank of New York Mellon Corp    37,604 
 79,185     BlackRock, Inc    39,517 
 301,461     Capital One Financial Corp    27,704 
 665,152     Charles Schwab Corp    33,989 
 6,710     Chimera Investment Corp    123 
 235,346     CME Group, Inc    38,578 
 73,651     Deutsche Boerse AG.    9,792 
 361,915     Discover Financial Services    25,482 
 3,050     Dynex Capital, Inc    20 
 4,661  *  E*TRADE Financial Corp    285 
 101,152     EXOR NV    6,769 
 15,538     Factset Research Systems, Inc    3,078 
 53,294     Franklin Resources, Inc    1,708 
 38,193  *  Green Dot Corp    2,803 
 398,375     Hong Kong Exchanges and Clearing Ltd    11,922 
 194,743     Invesco Ltd    5,172 
 617,282     Investec plc    4,365 
 33,731     Investment Technology Group, Inc    706 
 68,124     Investor AB (B Shares)    2,759 
 47,941     Legg Mason, Inc    1,665 
 173,985     London Stock Exchange Group plc    10,242 
 655     LPL Financial Holdings, Inc    43 
 132,838     Macquarie Group Ltd    12,106 
 412,100     Mitsubishi UFJ Lease & Finance Co Ltd    2,526 
 39,984     Moody’s Corp    6,820 
 910     Morningstar, Inc    117 
 882,631     Natixis    6,245 
 12,048  *,†,m  NewStar Financial, Inc    6 
 181,295     Northern Trust Corp    18,653 
 104,012  *  On Deck Capital, Inc    728 
 1,841     Raymond James Financial, Inc    165 
 146,504     S&P Global, Inc    29,871 
 115,106     Schroders plc    4,777 
 1,096,051     Standard Life plc    4,693 
 254,292     State Street Corp    23,672 
 68,336     T Rowe Price Group, Inc    7,933 
 119,663     TD Ameritrade Holding Corp    6,554 
 18,320     Voya Financial, Inc    861 
 25,534     Wendel    3,513 
       TOTAL DIVERSIFIED FINANCIALS    458,178 
401

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
ENERGY - 3.6%      
 19,066     Aker BP ASA   $701 
 161,542     AltaGas Income Trust    3,336 
 167,173  *  Antero Resources Corp    3,569 
 142,503     Apache Corp    6,662 
 15,185     Archrock, Inc    182 
 273,181     Baker Hughes a GE Co    9,023 
 8,057  *,e  California Resources Corp    366 
 3,504     Caltex Australia Ltd    84 
 672,692     Cenovus Energy, Inc (Toronto)    6,985 
 173,424  *  Cheniere Energy, Inc    11,306 
 30,167     Cimarex Energy Co    3,069 
 474,868     ConocoPhillips    33,060 
 36,588  *,e  Covia Holdings Corp    679 
 48,207     Delek US Holdings, Inc    2,419 
 63,664  *  Denbury Resources, Inc    306 
 289,657     Devon Energy Corp    12,733 
 16,418     Enagas    479 
 481,364     Enbridge, Inc (Toronto)    17,209 
 501,676  e  EnCana Corp    6,552 
 92,239     EQT Corp    5,090 
 42,054  *  Exterran Corp    1,053 
 78,969  *  Forum Energy Technologies, Inc    975 
 382,818     Galp Energia SGPS S.A.    7,283 
 47,174     Green Plains Renewable Energy, Inc    863 
 97,403  *  Helix Energy Solutions Group, Inc    811 
 114,164     Hess Corp    7,636 
 770,686     Inpex Holdings, Inc    8,004 
 38,891     John Wood Group plc    321 
 2,012,662     Kinder Morgan, Inc    35,564 
 57,666     Koninklijke Vopak NV    2,658 
 1,460  *  Laredo Petroleum Holdings, Inc    14 
 47,559     Lundin Petroleum AB    1,510 
 336,579     Marathon Oil Corp    7,021 
 28,451  *  Matrix Service Co    522 
 157,783  *  McDermott International, Inc    3,100 
 349,080     National Oilwell Varco, Inc    15,150 
 16,599  *  Natural Gas Services Group, Inc    392 
 104,756     Neste Oil Oyj    8,196 
 575  *  Newfield Exploration Co    17 
 107,917  *  Newpark Resources, Inc    1,171 
 173,638     Noble Energy, Inc    6,126 
 501,623     Occidental Petroleum Corp    41,976 
 5,830     Oceaneering International, Inc    148 
 138,124     OMV AG.    7,812 
 271,069     Oneok, Inc    18,929 
 8,920     PBF Energy, Inc    374 
 16,542  *  PDC Energy, Inc    1,000 
 86,710     Pioneer Natural Resources Co    16,409 
 50,847  *,e  Renewable Energy Group, Inc    908 
 586,030     Repsol YPF S.A.    11,439 
 1,410  e  RPC, Inc    21 
402

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 129,300  *  Santos Ltd   $599 
 726,241     Schlumberger Ltd    48,680 
 171,800     Showa Shell Sekiyu KK    2,560 
 25,393     SM Energy Co    652 
 2,043,909  e  Snam Rete Gas S.p.A.    8,518 
 323,509  *  Southwestern Energy Co    1,715 
 475,008     Statoil ASA    12,560 
 445,703     Suncor Energy, Inc    18,138 
 143,731  *  Superior Energy Services    1,400 
 1,009     Targa Resources Investments, Inc    50 
 801     TechnipFMC plc (Euro OTC)    25 
 282,465     Tenaris S.A.    5,155 
 244,854  *  Tetra Technologies, Inc    1,090 
 491,203     Total S.A.    29,829 
 24,262  *  Unit Corp    620 
 23,728  e  US Silica Holdings Inc    610 
 337,397     Valero Energy Corp    37,394 
 920,224  *,e  Weatherford International Ltd    3,028 
 283,365     Woodside Petroleum Ltd    7,426 
 25,600     World Fuel Services Corp    522 
       TOTAL ENERGY    511,784 
              
FOOD & STAPLES RETAILING - 0.6%      
 156,900     Aeon Co Ltd    3,356 
 33,483     Alimentation Couche Tard, Inc    1,455 
 75,527     Casey’s General Stores, Inc    7,936 
 46,095     Casino Guichard Perrachon S.A.    1,784 
 41,504  *  Chefs’ Warehouse Holdings, Inc    1,183 
 700     FamilyMart Co Ltd    74 
 28,904  e  George Weston Ltd    2,358 
 612,987     J Sainsbury plc    2,594 
 103,584     Loblaw Cos Ltd    5,326 
 147,990     Metro Wholesale & Food Specialist AG.    1,824 
 99,916  *  Performance Food Group Co    3,667 
 26,111     Pricesmart, Inc    2,363 
 101,919  *  Smart & Final Stores, Inc    566 
 48,144     Spartan Stores, Inc    1,229 
 255,430  *  Sprouts Farmers Market, Inc    5,637 
 3,394,984     Tesco plc    11,487 
 81,296  *  United Natural Foods, Inc    3,468 
 415,797  *  US Foods Holding Corp    15,726 
 12,906     Weis Markets, Inc    688 
 208,002     Wesfarmers Ltd    7,589 
 459,754     WM Morrison Supermarkets plc    1,525 
 2,015     Woolworths Ltd    46 
       TOTAL FOOD & STAPLES RETAILING    81,881 
              
FOOD, BEVERAGE & TOBACCO - 2.4%      
 414,000     Ajinomoto Co, Inc    7,837 
 40,341     Archer Daniels Midland Co    1,849 
 259,803     Associated British Foods plc    9,368 
 1,826     Barry Callebaut AG.    3,272 
 45,429     Bunge Ltd    3,167 
 110,151  e  Campbell Soup Co    4,465 
403

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 467,456     Coca-Cola Amatil Ltd   $3,179 
 1,463,356     Coca-Cola Co    64,183 
 171,578     Coca-Cola European Partners plc (Class A)    6,973 
 187,245     Coca-Cola HBC AG.    6,232 
 188,469     Danone    13,761 
 19,775  *,e  Freshpet, Inc    543 
 424,886     General Mills, Inc    18,805 
 2,360  *  Hain Celestial Group, Inc    70 
 116,392  e  Hormel Foods Corp    4,331 
 192,538     Kellogg Co    13,453 
 92,440     Kerry Group plc (Class A)    9,672 
 121,200     Kikkoman Corp    6,119 
 10,588     McCormick & Co, Inc    1,229 
 945,590     Mondelez International, Inc    38,769 
 572,365     Nestle S.A.    44,359 
 47,900     Nissin Food Products Co Ltd    3,471 
 455,798     Orkla ASA    3,988 
 563,238     PepsiCo, Inc    61,320 
 129,900     Suntory Beverage & Food Ltd    5,554 
 89,700     Yakult Honsha Co Ltd    5,997 
       TOTAL FOOD, BEVERAGE & TOBACCO    341,966 
              
HEALTH CARE EQUIPMENT & SERVICES - 2.5%      
 13,468     Abaxis, Inc    1,118 
 30,780  *  Abiomed, Inc    12,591 
 49,806  *  Acadia Healthcare Co, Inc    2,038 
 39,666  *  Accuray, Inc    163 
 11,700     Alfresa Holdings Corp    275 
 50,114  *  Align Technology, Inc    17,146 
 86,466  *  Allscripts Healthcare Solutions, Inc    1,038 
 37,965  *  Amedisys, Inc    3,244 
 40,869  *  AMN Healthcare Services, Inc    2,395 
 35,222  *  Angiodynamics, Inc    783 
 53,713  *  athenahealth, Inc    8,548 
 32,319  *  AtriCure, Inc    874 
 176,146     Becton Dickinson & Co    42,198 
 73,393  *  Brookdale Senior Living, Inc    667 
 31,810  *  Capital Senior Living Corp    339 
 282,531     Cardinal Health, Inc    13,796 
 25,145  *  Cardiovascular Systems, Inc    813 
 126,723  *  Centene Corp    15,614 
 182,855  *  Cerner Corp    10,933 
 79,050  *  Cerus Corp    527 
 50,101     Coloplast AS    5,002 
 14,582  e  Computer Programs & Systems, Inc    480 
 308,743  g  ConvaTec Group plc    862 
 19,943     Cooper Cos, Inc    4,696 
 4,570  *  Corvel Corp    247 
 25,039  *  Cross Country Healthcare, Inc    282 
 78,540     Dentsply Sirona, Inc    3,438 
 21,016  *  Diplomat Pharmacy, Inc    537 
 144,466  *  Edwards Lifesciences Corp    21,030 
 105,895  *  Endologix, Inc    599 
404

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 134,244  *  Envision Healthcare Corp   $5,908 
 73,692     Essilor International S.A.    10,390 
 52,788  *,e  GenMark Diagnostics, Inc    337 
 4,374  *  Haemonetics Corp    392 
 175,083     HCA Holdings, Inc    17,964 
 583,695     Healthscope Ltd    952 
 26,729  *  Henry Schein, Inc    1,942 
 10,561  *  HMS Holdings Corp    228 
 132,293  *  Hologic, Inc    5,259 
 123,394     Humana, Inc    36,726 
 34,863  *  Idexx Laboratories, Inc    7,598 
 41,302  *  Integer Holding Corp    2,670 
 29,723  *  Kindred Healthcare, Inc    267 
 324,298     Koninklijke Philips Electronics NV    13,740 
 66,632  *  Laboratory Corp of America Holdings    11,962 
 19,312  *  LHC Group, Inc    1,653 
 49,318  *  LifePoint Hospitals, Inc    2,407 
 9,373  *  LivaNova plc    936 
 412,449  e  Mediclinic International plc    2,857 
 7,710  *  Medidata Solutions, Inc    621 
 37,651  *  Merit Medical Systems, Inc    1,928 
 95,734  *  NMC Health plc    4,506 
 46,381  *  Omnicell, Inc    2,433 
 70,523  *  OraSure Technologies, Inc    1,161 
 1,240  *  Penumbra, Inc    171 
 2,830  *  Premier, Inc    103 
 15,337  *  Providence Service Corp    1,205 
 42,933  *  Quality Systems, Inc    837 
 29,557     Quest Diagnostics, Inc    3,249 
 23,328  *  Quidel Corp    1,551 
 108,471     Ramsay Health Care Ltd    4,332 
 57,860     Resmed, Inc    5,993 
 252,994     Ryman Healthcare Ltd    2,049 
 4,058     Sartorius AG.    604 
 75,106  *  Select Medical Holdings Corp    1,363 
 37,760  *  Staar Surgical Co    1,171 
 41,823  *,e  Surgery Partners, Inc    623 
 81,600     Sysmex Corp    7,603 
 31,845  *,e  Teladoc, Inc    1,849 
 19,606  *  Tivity Health, Inc    690 
 18,482  *  Triple-S Management Corp (Class B)    722 
 16,067     US Physical Therapy, Inc    1,542 
 20,611  *  Varian Medical Systems, Inc    2,344 
 29,070  *  Veeva Systems, Inc    2,234 
 32,132  *  Vocera Communications, Inc    960 
 846     West Pharmaceutical Services, Inc    84 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES    348,389 
              
HOUSEHOLD & PERSONAL PRODUCTS - 1.4%      
 493     Clorox Co    67 
 430,076     Colgate-Palmolive Co    27,873 
 25,774     Energizer Holdings, Inc    1,623 
 89,385     Estee Lauder Cos (Class A)    12,754 
 77,407     Henkel KGaA    8,595 
405

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 22,604     Henkel KGaA (Preference)   $2,884 
 800     Kao Corp    61 
 125,873     Kimberly-Clark Corp    13,259 
 68,224     L’Oreal S.A.    16,819 
 893,316     Procter & Gamble Co    69,732 
 40,700     Shiseido Co Ltd    3,230 
 283,430     Unilever NV    15,792 
 322,263     Unilever plc    17,802 
       TOTAL HOUSEHOLD & PERSONAL PRODUCTS    190,491 
              
INSURANCE - 2.8%      
 1,073,234     Aegon NV    6,408 
 611,727     Aflac, Inc    26,317 
 102,018     Allianz AG.    21,021 
 69,116     Allstate Corp    6,308 
 732,966     American International Group, Inc    38,862 
 3,753  *  Arch Capital Group Ltd    99 
 2,370     Arthur J. Gallagher & Co    155 
 57,946     Aspen Insurance Holdings Ltd    2,358 
 429,880     Assicurazioni Generali S.p.A.    7,187 
 1,648,333     Aviva plc    10,937 
 574,060     AXA S.A.    14,026 
 2,167     Axis Capital Holdings Ltd    121 
 298,793     Chubb Ltd    37,953 
 158,058     CNP Assurances    3,591 
 1,270     First American Financial Corp    66 
 2,823,775     Legal & General Group plc    9,877 
 2,173     Lincoln National Corp    135 
 236,587     Loews Corp    11,422 
 397,874     Marsh & McLennan Cos, Inc    32,614 
 54,934     Muenchener Rueckver AG.    11,549 
 109,100     NKSJ Holdings, Inc    4,402 
 35,168     NN Group NV    1,426 
 20,520     Principal Financial Group    1,087 
 396,061     Progressive Corp    23,427 
 344,651     Prudential Financial, Inc    32,228 
 701,928     Prudential plc    16,001 
 209,543     RSA Insurance Group plc    1,874 
 78,838     Sun Life Financial, Inc    3,168 
 110,861     Swiss Re Ltd    9,679 
 117,300     Tokio Marine Holdings, Inc    5,488 
 253,370     Travelers Cos, Inc    30,997 
 495     White Mountains Insurance Group Ltd    449 
 1,467     Willis Towers Watson plc    222 
 76,257     XL Group Ltd    4,267 
 46,595     Zurich Financial Services AG.    13,780 
       TOTAL INSURANCE    389,501 
              
MATERIALS - 3.1%      
 107,681     Agnico-Eagle Mines Ltd    4,937 
 125,081     Air Liquide    15,678 
 161,261     Air Products & Chemicals, Inc    25,113 
 63,469     Akzo Nobel NV    5,414 
406

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 24,722     Albemarle Corp   $2,332 
 2,232,040     Alumina Ltd    4,619 
 1,306     Aptargroup, Inc    122 
 168,600     Asahi Kasei Corp    2,138 
 40,364     Avery Dennison Corp    4,121 
 2,277  *  Axalta Coating Systems Ltd    69 
 129,640     Ball Corp    4,609 
 214,323     BASF SE    20,461 
 950     Bemis Co, Inc    40 
 531  *  Berry Plastics Group, Inc    24 
 515,949     BlueScope Steel Ltd    6,585 
 245,629     Boliden AB    7,927 
 17,502     Celanese Corp (Series A)    1,944 
 34,439  *  Century Aluminum Co    543 
 14,714  *  Clearwater Paper Corp    340 
 103,015     Commercial Metals Co    2,175 
 164,700     CRH plc    5,793 
 65,860     Croda International plc    4,161 
 5,941     DSM NV    594 
 250,867     Ecolab, Inc    35,204 
 104,881     Evonik Industries AG.    3,588 
 5,690  *  Ferro Corp    119 
 313     FMC Corp    28 
 973,261  e  Fortescue Metals Group Ltd    3,160 
 60,932     Franco-Nevada Corp    4,447 
 4,597     Givaudan S.A.    10,411 
 83,785     HeidelbergCement AG.    7,035 
 197,200     Hitachi Metals Ltd    2,045 
 17,156     Imerys S.A.    1,385 
 827     International Flavors & Fragrances, Inc    103 
 200,631     International Paper Co    10,449 
 131,475     Johnson Matthey plc    6,260 
 27,080     Kapstone Paper and Packaging Corp    934 
 59,233     Louisiana-Pacific Corp    1,612 
 193,515     LyondellBasell Industries AF S.C.A    21,258 
 197     Martin Marietta Materials, Inc    44 
 9,897     Materion Corp    536 
 36,779     Minerals Technologies, Inc    2,771 
 63,400     Mitsubishi Chemical Holdings Corp    530 
 152,392     Mitsui Chemicals, Inc    4,050 
 77,471     Mondi plc    2,090 
 174,165     Mosaic Co    4,885 
 334,745     Newcrest Mining Ltd    5,435 
 224,471     Newmont Mining Corp    8,465 
 28,700     Nitto Denko Corp    2,167 
 1,262,034     Norsk Hydro ASA    7,533 
 380,735     Nucor Corp    23,796 
 207,009     Nutrien Ltd (Toronto)    11,262 
 218,414     Praxair, Inc    34,542 
 5,922     Reliance Steel & Aluminum Co    518 
 94,572     Royal Gold, Inc    8,780 
 10,424     Schnitzer Steel Industries, Inc (Class A)    351 
 337     Scotts Miracle-Gro Co (Class A)    28 
 1,772     Sealed Air Corp    75 
407

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 131,300     Shin-Etsu Chemical Co Ltd   $11,669 
 31,200     Sika AG.    4,311 
 1,033     Sonoco Products Co    54 
 3,313,753     South32 Ltd    8,849 
 90,231     Stora Enso Oyj (R Shares)    1,758 
 1,184,000     Sumitomo Chemical Co Ltd    6,696 
 213,800     Sumitomo Metal Mining Co Ltd    8,160 
 67,852  *  Summit Materials, Inc    1,781 
 350,023     Teck Cominco Ltd    8,917 
 9,000     Toray Industries, Inc    71 
 33,404     Trinseo S.A.    2,370 
 130,154     Umicore S.A.    7,430 
 166,329     UPM-Kymmene Oyj    5,922 
 19,003  *,e  US Concrete, Inc    998 
 77,303     Voestalpine AG.    3,555 
 39,240     Vulcan Materials Co    5,064 
 153,265     WestRock Co    8,739 
 74,113     Wheaton Precious Metals Corp    1,636 
       TOTAL MATERIALS    433,615 
              
MEDIA - 0.8%         
 1,669     Cable One, Inc    1,224 
 19,251     Cinemark Holdings, Inc    675 
 66,744     Clear Channel Outdoor Holdings, Inc (Class A)    287 
 700     CyberAgent, Inc    42 
 2,100  e  Dentsu, Inc    99 
 291,226  *,e  Discovery, Inc (Class A)    8,009 
 315,190  *  Discovery, Inc (Class C)    8,037 
 84,634     Entravision Communications Corp (Class A)    423 
 152,247  *  Gray Television, Inc    2,406 
 17,922     Interpublic Group of Cos, Inc    420 
 526,783     ITV plc    1,204 
 25,762     JC Decaux S.A.    860 
 15,074     John Wiley & Sons, Inc (Class A)    941 
 158,885  *  Liberty Broadband Corp (Class C)    12,031 
 4,448  *  Liberty Global plc    118 
 2,960  *  Liberty Global plc (Class A)    82 
 10,447  *  Live Nation, Inc    507 
 5,583  *  Loral Space & Communications, Inc    210 
 6,202     Marcus Corp    202 
 162,213     New York Times Co (Class A)    4,201 
 149,250     Omnicom Group, Inc    11,383 
 369,400     Pearson plc    4,302 
 63,571     ProSiebenSat. Media AG.    1,609 
 3,689     Reed Elsevier NV    78 
 514,300     Reed Elsevier plc    10,983 
 11,472     Scholastic Corp    508 
 57,685     Sinclair Broadcast Group, Inc (Class A)    1,855 
 2,402,305  e  Sirius XM Holdings, Inc    16,264 
 527,516     Sky plc    10,159 
 17,183     Tribune Co    658 
 212,730     Vivendi Universal S.A.    5,204 
 508,239     WPP plc    7,985 
       TOTAL MEDIA    112,966 
408

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 4.7%      
 419,159     AbbVie, Inc   $38,835 
 96,085  *,e  Acadia Pharmaceuticals, Inc    1,467 
 8,756  *  Acceleron Pharma, Inc    425 
 4,399  *  Acorda Therapeutics, Inc    126 
 18,975  *,e  Aduro Biotech, Inc    133 
 244,373     Agilent Technologies, Inc    15,112 
 24,557  *  Agios Pharmaceuticals, Inc    2,068 
 85,128  *  Akorn, Inc    1,412 
 324  *  Alkermes plc    13 
 295,233     Amgen, Inc    54,497 
 747,014     Astellas Pharma, Inc    11,369 
 286,541     AstraZeneca plc    19,819 
 9,400     AstraZeneca plc (ADR)    330 
 85,693  *,e  Bellicum Pharmaceuticals, Inc    632 
 182,339  *,e  BioCryst Pharmaceuticals, Inc    1,045 
 103,797  *  Biogen Idec, Inc    30,126 
 68,357  *  BioMarin Pharmaceutical, Inc    6,439 
 16,205  *  Bluebird Bio, Inc    2,543 
 698,359     Bristol-Myers Squibb Co    38,647 
 1,178     Bruker BioSciences Corp    34 
 369,136  *  Celgene Corp    29,317 
 166,397     Chugai Pharmaceutical Co Ltd    8,713 
 75,717  *  Coherus Biosciences, Inc    1,060 
 23,539  *,e  Collegium Pharmaceutical, Inc    561 
 75,469     CSL Ltd    10,742 
 101,500     Eisai Co Ltd    7,145 
 525,815     Eli Lilly & Co    44,868 
 5,911  *,e  Esperion Thereapeutics, Inc    232 
 40,521  *  FibroGen, Inc    2,537 
 19,936  *,e  Flexion Therapeutics Inc    515 
 36,888  *  Genmab AS    5,676 
 525,111     Gilead Sciences, Inc    37,199 
 11,045  *  Halozyme Therapeutics, Inc    186 
 27,074  *  Illumina, Inc    7,562 
 503  *  Incyte Corp    34 
 32,294  *,e  Inovio Pharmaceuticals, Inc    127 
 34,337  *  Intersect ENT, Inc    1,286 
 64,045  *  Iovance Biotherapeutics, Inc    820 
 101,998  *  IQVIA Holdings, Inc    10,181 
 417  *  Jazz Pharmaceuticals plc    72 
 237,900     Kyowa Hakko Kogyo Co Ltd    4,789 
 39,648     Lonza Group AG.    10,477 
 90,218     Merck KGaA    8,782 
 7,999  *  Mettler-Toledo International, Inc    4,628 
 82,507  *  Nektar Therapeutics    4,029 
 422,145     Novo Nordisk AS    19,499 
 92,678  *,e  Opko Health, Inc    436 
 1,883     Orion Oyj (Class B)    51 
 9,341  *  PerkinElmer, Inc    684 
 652     Perrigo Co plc    48 
 76,847  *  Prestige Brands Holdings, Inc    2,949 
409

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 160,718  *  Progenics Pharmaceuticals, Inc   $1,292 
 16,974  *  Prothena Corp plc    247 
 186,905  *  QIAGEN NV (Turquoise)    6,775 
 567  *  Repligen Corp    27 
 140,969     Roche Holding AG.    31,275 
 12,847  *  Sage Therapeutics, Inc    2,011 
 80,102  *  Sangamo Biosciences, Inc    1,137 
 263,809     Sanofi-Aventis    21,173 
 25,811  *,e  Sarepta Therapeutics, Inc    3,412 
 1,038,870     Schering-Plough Corp    63,060 
 93,800     Shionogi & Co Ltd    4,813 
 4,346  *,e  Spark Therapeutics, Inc    360 
 19,426  *,e  TESARO, Inc    864 
 30,109  *,e  Theravance Biopharma, Inc    683 
 42,324     UCB S.A.    3,318 
 42,165  *  Ultragenyx Pharmaceutical, Inc    3,241 
 118,326  *  Vertex Pharmaceuticals, Inc    20,111 
 27,717  *  Waters Corp    5,366 
 379,615     Zoetis, Inc    32,339 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES    651,781 
              
REAL ESTATE - 2.3%      
 15,548  *,e  Altisource Portfolio Solutions S.A.    454 
 103,765     American Campus Communities, Inc    4,449 
 279,287     American Tower Corp    40,265 
 108,838     Boston Properties, Inc    13,650 
 4,210     Brandywine Realty Trust    71 
 805,154     British Land Co plc    7,123 
 130,232     Brixmor Property Group, Inc    2,270 
 553,549     CapitaLand Ltd    1,281 
 166,098  *  CBRE Group, Inc    7,930 
 228,200     City Developments Ltd    1,828 
 36,483     Coresite Realty    4,043 
 292,700     Daiwa House Industry Co Ltd    9,958 
 160,837     Duke Realty Corp    4,669 
 2,171     Easterly Government Properties, Inc    43 
 62,177     Equinix, Inc    26,729 
 110,553     Forest City Realty Trust, Inc    2,522 
 462,907     Hammerson plc    3,181 
 1,326,000     Hang Lung Properties Ltd    2,724 
 329,519     HCP, Inc    8,508 
 319,123     Host Marriott Corp    6,724 
 50,390  *  Howard Hughes Corp    6,677 
 212,100     Hulic Co Ltd    2,264 
 158,670     Hysan Development Co Ltd    886 
 158,410     Iron Mountain, Inc    5,546 
 40,680  *  iStar Financial, Inc    439 
 2,640     Jones Lang LaSalle, Inc    438 
 495,014     Land Securities Group plc    6,236 
 45,796     Lend Lease Corp Ltd    671 
 3,590     Liberty Property Trust    159 
 423,000     Link REIT    3,858 
 533,400     Mitsubishi Estate Co Ltd    9,312 
 362,810     Mitsui Fudosan Co Ltd    8,739 
410

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 17     Nippon ProLogis REIT, Inc   $35 
 59,300     Nomura Real Estate Holdings, Inc    1,313 
 49,218     NorthStar Realty Europe Corp    713 
 108,203     Paramount Group, Inc    1,666 
 7,000     Piedmont Office Realty Trust, Inc    140 
 508,773     Prologis, Inc    33,421 
 36,640     QTS Realty Trust, Inc    1,447 
 3,184     Rayonier, Inc    123 
 3,772  e  Realogy Holdings Corp    86 
 3,556     RMR Group, Inc    279 
 86,681  *  SBA Communications Corp    14,313 
 284,290     Scentre Group    924 
 310,801     Segro plc    2,737 
 46,895     Senior Housing Properties Trust    848 
 6,210     Starwood Property Trust, Inc    135 
 463,500     Swire Pacific Ltd (Class A)    4,899 
 1,095,800     Swire Properties Ltd    4,041 
 2,845  *  Tejon Ranch Co    69 
 35,140     Tier REIT, Inc    836 
 142,136     UDR, Inc    5,336 
 40,112  e  Unibail-Rodamco-Westfield    8,832 
 113,795     Vornado Realty Trust    8,412 
 411,563     Welltower, Inc    25,801 
 291,785     Weyerhaeuser Co    10,638 
       TOTAL REAL ESTATE    320,691 
              
RETAILING - 3.1%      
 74,043  *  1-800-FLOWERS.COM, Inc (Class A)    929 
 35,013     Advance Auto Parts, Inc    4,751 
 440  *  Autonation, Inc    21 
 116,871     Best Buy Co, Inc    8,716 
 24,493  *  Booking Holdings, Inc    49,650 
 83,674  *  CarMax, Inc    6,097 
 152,764     Expedia, Inc    18,361 
 18,500     Fast Retailing Co Ltd    8,479 
 3,529  *  Five Below, Inc    345 
 3,480  e  GameStop Corp (Class A)    51 
 183,206     Gap, Inc    5,934 
 11,555  *  Genesco, Inc    459 
 679     Genuine Parts Co    62 
 13,160     Group 1 Automotive, Inc    829 
 1,000,594  *  Groupon, Inc    4,303 
 14,217     Haverty Furniture Cos, Inc    307 
 6,368  e  Hennes & Mauritz AB (B Shares)    95 
 31,775  *  Hibbett Sports, Inc    728 
 386,924     Home Depot, Inc    75,489 
 392,387     Industria De Diseno Textil S.A.    13,362 
 92,700     Jardine Cycle & Carriage Ltd    2,166 
 24,493     Kering    13,797 
 22,653     Kingfisher plc    89 
 184,240     Kohl’s Corp    13,431 
 829     L Brands, Inc    31 
 97,581  *,e  Lands’ End, Inc    2,723 
411

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 5,405,620     Li & Fung Ltd   $1,980 
 120,512  *  LKQ Corp    3,844 
 474,796     Lowe’s Companies, Inc    45,376 
 1,225     Macy’s, Inc    46 
 16,107  *  MarineMax, Inc    305 
 342,665  e  Marks & Spencer Group plc    1,331 
 2,400     Marui Co Ltd    50 
 308  *  Murphy USA, Inc    23 
 159,731  *  NetFlix, Inc    62,523 
 31,269     Next plc    2,489 
 300     Nitori Co Ltd    47 
 23,451     Nordstrom, Inc    1,214 
 119,203     Nutri/System, Inc    4,589 
 102,526     Office Depot, Inc    261 
 66,187  *,e  Overstock.com, Inc    2,227 
 48,646  e  Rent-A-Center, Inc    716 
 282,155     Ross Stores, Inc    23,913 
 1,746  *,e  Sally Beauty Holdings, Inc    28 
 15,085     Shoe Carnival, Inc    490 
 115,603  *  Shutterfly, Inc    10,408 
 81,120     Target Corp    6,175 
 22,162     Tiffany & Co    2,917 
 15,696     Tile Shop Holdings, Inc    121 
 38,849     TJX Companies, Inc    3,698 
 12,920     Tractor Supply Co    988 
 96,950  *  TripAdvisor, Inc    5,401 
 37,479  *  Ulta Beauty, Inc    8,750 
 107,640  *,e  Wayfair, Inc    12,783 
 46,193  e  Williams-Sonoma, Inc    2,835 
 15,455  *,g  Zalando SE    861 
       TOTAL RETAILING    437,594 
              
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 1.8%      
 671,083     Applied Materials, Inc    30,997 
 97,176     ASML Holding NV    19,230 
 43,026  *  Cirrus Logic, Inc    1,649 
 29,559  *  First Solar, Inc    1,557 
 18,222  *  Integrated Device Technology, Inc    581 
 1,417,648     Intel Corp    70,471 
 68,536     Lam Research Corp    11,846 
 202,083     NVIDIA Corp    47,874 
 465,418     Texas Instruments, Inc    51,312 
 59,300     Tokyo Electron Ltd    10,179 
 40,370  e  Universal Display Corp    3,472 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT    249,168 
              
SOFTWARE & SERVICES - 4.9%      
 310,048     Accenture plc    50,721 
 102,701     Amadeus IT Holding S.A.    8,076 
 733     Atos Origin S.A.    100 
 134,889  *  Autodesk, Inc    17,683 
 22,907  *,e  Benefitfocus, Inc    770 
 311,906  *  Black Knight, Inc    16,703 
 27,736     Blackbaud, Inc    2,842 
412

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 218,184     Booz Allen Hamilton Holding Co   $9,541 
 312,108     CA, Inc    11,127 
 179,568  *  Cadence Design Systems, Inc    7,777 
 80,102     Cap Gemini S.A.    10,734 
 96,573  *  Cardtronics plc    2,335 
 127,574  *  CGI Group, Inc    8,084 
 13,800  *  ChannelAdvisor Corp    194 
 3,509     Computershare Ltd    48 
 415,660  *  Conduent, Inc    7,553 
 63,670     CSG Systems International, Inc    2,602 
 39,964  *,e  Ellie Mae, Inc    4,150 
 115,655  *  Etsy, Inc    4,880 
 101,473  *  Euronet Worldwide, Inc    8,500 
 18,675  *  ExlService Holdings, Inc    1,057 
 994,000     Fujitsu Ltd    6,015 
 286,591  *,e  Gogo, Inc    1,393 
 385,269     International Business Machines Corp    53,822 
 183,696     Intuit, Inc    37,530 
 118,574  *  Limelight Networks, Inc    530 
 94,174     LogMeIn, Inc    9,723 
 771  *  Manhattan Associates, Inc    36 
 1,868,852     Microsoft Corp    184,287 
 77,301  *  MINDBODY, Inc    2,984 
 42,795  *  MoneyGram International, Inc    286 
 66,479  *  New Relic, Inc    6,687 
 9,400     Nintendo Co Ltd    3,068 
 64,400     Nomura Research Institute Ltd    3,116 
 61,162  *  Nutanix, Inc    3,154 
 29,738  *  OneSpan, Inc    584 
 96,077  e  Open Text Corp    3,382 
 1,228,615     Oracle Corp    54,133 
 1,800     Otsuka Corp    70 
 323,961  *,e  Pandora Media, Inc    2,553 
 64,794  *  Perficient, Inc    1,709 
 73,830  *  PTC, Inc    6,926 
 37,857  *  Qualys, Inc    3,191 
 171,930  *  Quotient Technology, Inc    2,252 
 60,836  *  RingCentral, Inc    4,280 
 357,710  *  salesforce.com, Inc    48,792 
 216,606     SAP AG.    25,000 
 67,561     Science Applications International Corp    5,468 
 194,307  *  ServiceSource International LLC    766 
 36,886  *  SPS Commerce, Inc    2,710 
 41,006  *  Sykes Enterprises, Inc    1,180 
 361,323     Symantec Corp    7,461 
 24,254  *  Tableau Software, Inc    2,371 
 224,993  *  Teradata Corp    9,033 
 82,173     TiVo Corp    1,105 
 250,782     Travelport Worldwide Ltd    4,650 
 6,080     TTEC Holdings, Inc    210 
 79,086  *  Twilio, Inc    4,430 
 25,942  *  Ultimate Software Group, Inc    6,675 
 26,450  *  Virtusa Corp    1,288 
       TOTAL SOFTWARE & SERVICES    688,327 
413

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
TECHNOLOGY HARDWARE & EQUIPMENT - 3.8%      
 25,894  *  Anixter International, Inc   $1,639 
 1,168,971     Apple, Inc    216,388 
 25,108     Badger Meter, Inc    1,122 
 4,043     Belden CDT, Inc    247 
 127,495     Benchmark Electronics, Inc    3,716 
 1,678,433     Cisco Systems, Inc    72,223 
 39,775  *  Coherent, Inc    6,222 
 9,404     Comtech Telecommunications Corp    300 
 549,580     Corning, Inc    15,119 
 93,995  *  Cray, Inc    2,312 
 33,384     CTS Corp    1,202 
 39,009     Daktronics, Inc    332 
 148,884     Dolby Laboratories, Inc (Class A)    9,185 
 838,820     Ericsson (LM) (B Shares)    6,462 
 120,727  *  Fabrinet    4,454 
 25,626  *  FARO Technologies, Inc    1,393 
 99,116  *,e  Finisar Corp    1,784 
 1,291,050     Hewlett Packard Enterprise Co    18,862 
 1,615,957     HP, Inc    36,666 
 20,660  *  Insight Enterprises, Inc    1,011 
 44,469  *  Itron, Inc    2,670 
 242,812     Jabil Circuit, Inc    6,716 
 27,200     Keyence Corp    15,341 
 3,223  *  Keysight Technologies, Inc    190 
 34,382  *  Kimball Electronics, Inc    629 
 193,000     Konica Minolta Holdings, Inc    1,790 
 151,900     Kyocera Corp    8,542 
 25,369     Littelfuse, Inc    5,789 
 12,679  *,e  Lumentum Holdings, Inc    734 
 37,090     Methode Electronics, Inc    1,495 
 120,366     Motorola, Inc    14,007 
 3,868     MTS Systems Corp    204 
 69,700     Murata Manufacturing Co Ltd    11,701 
 158,385     National Instruments Corp    6,649 
 103,381     NEC Corp    2,833 
 12,554  *  Netgear, Inc    785 
 26,169  *  Novanta, Inc    1,630 
 58,800     Omron Corp    2,739 
 7,653  *  OSI Systems, Inc    592 
 21,896  *  Plexus Corp    1,304 
 64,222  *  Ribbon Communications, Inc    457 
 29,235  *  Rogers Corp    3,258 
 32,127  *  Scansource, Inc    1,295 
 46,200     Shimadzu Corp    1,394 
 91,325  *  Super Micro Computer, Inc    2,160 
 25,259     SYNNEX Corp    2,438 
 4,348     TE Connectivity Ltd    392 
 82,123  *  Tech Data Corp    6,744 
 206,058  *  TTM Technologies, Inc    3,633 
 162,947     Vishay Intertechnology, Inc    3,780 
 351,624     Xerox Corp    8,439 
414

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 138,600     Yaskawa Electric Corp   $4,881 
 26,700     Yokogawa Electric Corp    474 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT    526,324 
              
TELECOMMUNICATION SERVICES - 1.0%      
 2     AT&T, Inc     0^
 14,903  *  Boingo Wireless, Inc    337 
 3,815,625     BT Group plc    10,946 
 914,566     CenturyLink, Inc    17,047 
 72,478  *  Cincinnati Bell, Inc    1,138 
 24,511     Cogent Communications Group, Inc    1,309 
 100,517  e  Consolidated Communications Holdings, Inc    1,242 
 190,943  *,e  Iridium Communications, Inc    3,074 
 555,932     KDDI Corp    15,202 
 497,200     NTT DoCoMo, Inc    12,670 
 725,735     Orange S. A.    12,114 
 47,991  *  Orbcomm, Inc    485 
 206,831     Rogers Communications, Inc (Class B)    9,824 
 3,479,100     Singapore Telecommunications Ltd    7,855 
 1,797,120  *,e  Sprint Corp    9,776 
 17,350     Swisscom AG.    7,744 
 2,071     Tele2 AB (B Shares)    24 
 53,271     Telenor ASA    1,091 
 168,403     TeliaSonera AB    768 
 424,015     Telstra Corp Ltd    820 
 14,166     TELUS Corp    503 
 6,813,007     Vodafone Group plc    16,503 
 345,199  *  Vonage Holdings Corp    4,450 
 308,391  *  Zayo Group Holdings, Inc    11,250 
       TOTAL TELECOMMUNICATION SERVICES    146,172 
              
TRANSPORTATION - 1.7%      
 27,025     Aeroports de Paris    6,105 
 57,900  e  All Nippon Airways Co Ltd    2,125 
 60     Amerco, Inc    21 
 9,330     Arkansas Best Corp    426 
 293,213     Auckland International Airport Ltd    1,345 
 11,737  *  Avis Budget Group, Inc    381 
 202,445     Canadian National Railway Co    16,559 
 57,900     Central Japan Railway Co    11,987 
 612     CH Robinson Worldwide, Inc    51 
 307,314     CSX Corp    19,601 
 252,395     Delta Air Lines, Inc    12,504 
 313,413     Deutsche Post AG.    10,183 
 126,900     East Japan Railway Co    12,153 
 12,132  *  Echo Global Logistics, Inc    355 
 813     Expeditors International of Washington, Inc    59 
 33,952     Fraport AG. Frankfurt Airport Services Worldwide    3,266 
 31,284  *  Genesee & Wyoming, Inc (Class A)    2,544 
 29,900     Hankyu Hanshin Holdings, Inc    1,201 
 41,654  *  Hertz Global Holdings, Inc    639 
 592     Kansas City Southern Industries, Inc    63 
 723     Kuehne & Nagel International AG.    109 
 459     Landstar System, Inc    50 
415

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY  VALUE
(000)
 
              
 65,400     Mitsui OSK Lines Ltd   $1,573 
 1,407,101     MTR Corp    7,772 
 23,078     Nippon Yusen Kabushiki Kaisha    457 
 82,744     Norfolk Southern Corp    12,484 
 12,124     Ryder System, Inc    871 
 40,400     Singapore Airlines Ltd    316 
 374,851     Southwest Airlines Co    19,072 
 29,897  *,e  Spirit Airlines, Inc    1,087 
 14,066  e  Sydney Airport    74 
 75,800     Tokyu Corp    1,304 
 978,015     Transurban Group (ASE)    8,661 
 331,456     Union Pacific Corp    46,961 
 368,329     United Parcel Service, Inc (Class B)    39,128 
 200     West Japan Railway Co    15 
 8,260  *  YRC Worldwide, Inc    83 
       TOTAL TRANSPORTATION    241,585 
              
UTILITIES - 1.9%      
 261,998     American Electric Power Co, Inc    18,143 
 40,463     American Water Works Co, Inc    3,455 
 559,392     APA Group (ASE)    4,075 
 4,270     Aqua America, Inc    150 
 40,021     Avista Corp    2,108 
 400,900     Chubu Electric Power Co, Inc    6,011 
 5,605     CMS Energy Corp    265 
 258,611     Consolidated Edison, Inc    20,167 
 494,357     Dominion Resources, Inc    33,705 
 1,246     DTE Energy Co    129 
 117,711     Edison International    7,448 
 722,619     Enel S.p.A.    4,004 
 10,425     Energias de Portugal S.A.    41 
 188,278     Eversource Energy    11,035 
 112,045     Fortis, Inc    3,581 
 59,506  *  Gas Natural SDG S.A.    1,573 
 4,945,147     Hong Kong & China Gas Ltd    9,453 
 103,000     Hong Kong Electric Holdings Ltd    720 
 1,887,688     Iberdrola S.A.    14,557 
 49,141     Idacorp, Inc    4,533 
 288,600     Kyushu Electric Power Co, Inc    3,222 
 4,730     MDU Resources Group, Inc    136 
 428,619     Meridian Energy Ltd    905 
 1,183,909     National Grid plc    13,084 
 6,499     NiSource, Inc    171 
 32,773  g  Orsted AS    1,980 
 3,980     Pinnacle West Capital Corp    321 
 145,529     Public Service Enterprise Group, Inc    7,879 
 557,558     Scottish & Southern Energy plc    9,953 
 214,671     Sempra Energy    24,925 
 35,973     South Jersey Industries, Inc    1,204 
 680,000     Southern Co    31,491 
 32,615  e  Terna Rete Elettrica Nazionale S.p.A.    176 
 67,058     Tokyo Gas Co Ltd    1,781 
 610,836     United Utilities Group plc    6,141 
416

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES     COMPANY            VALUE
(000)
 
                        
 980     Vectren Corp             $70 
 145,186     WEC Energy Group, Inc              9,386 
 30,023     WGL Holdings, Inc              2,665 
 340,977     Xcel Energy, Inc              15,575 
       TOTAL UTILITIES              276,218 
                        
       TOTAL COMMON STOCKS              8,257,846 
       (Cost $6,440,068)                
                        
PREFERRED STOCKS - 0.2%                
                 
BANKS - 0.2%                   
 233,115  *,e  Federal Home Loan Mortgage Corp              1,457 
 740,991  *  Federal National Mortgage Association           4,683 
 14,500  *  M&T Bank Corp              14,812 
       TOTAL BANKS              20,952 
                        
       TOTAL PREFERRED STOCKS              20,952 
       (Cost $38,865)                
                        
RIGHTS / WARRANTS - 0.0%                
                 
BANKS - 0.0%                
 5,302,106  m  Intesa Sanpaolo S.p.A              0 
       TOTAL BANKS              0 
                        
ENERGY - 0.0%                
 586,030  e  Repsol S.A.              333 
       TOTAL ENERGY              333 
                        
       TOTAL RIGHTS / WARRANTS              333 
       (Cost $330)                
                        
                  MATURITY     
PRINCIPAL     ISSUER     RATE  DATE     
                       
SHORT-TERM INVESTMENTS - 2.1%                
                 
TREASURY DEBT - 0.4%                
$60,920,000     United States Treasury Bill      1.810%  08/16/18   60,781 
       TOTAL TREASURY DEBT              60,781 
                        
SHARES     COMPANY                
                       
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 1.7%          
 232,695,245  c  State Street Navigator Securities Lending Government Money Market Portfolio          232,695 
       TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES   232,695 
                        
       TOTAL SHORT-TERM INVESTMENTS        293,476 
       (Cost $293,476)                
       TOTAL INVESTMENTS - 101.1%              14,138,896 
       (Cost $12,424,113)                
       OTHER ASSETS & LIABILITIES, NET - (1.1)%        (155,993)
       NET ASSETS - 100.0%             $13,982,903 
417

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

       

    Abbreviation(s):
    ADR American Depositary Receipt
    LIBOR  London Interbank Offered Rates
    M Month
    REIT Real Estate Investment Trust

 

^   Amount represents less than $1,000.
*   Non-income producing
  Security is categorized as Level 3 in the fair value hierarchy.
c   Investments made with cash collateral received from securities on loan.
e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $224,783,000.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/18, the aggregate value of these securities was $1,155,717,000 or 8.3% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
j   Zero coupon
m   Indicates a security that has been deemed illiquid.
     
    Cost amounts are in thousands.
418

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

COLLEGE RETIREMENT EQUITIES FUND
MONEY MARKET ACCOUNT
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2018

 

                MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
                     
SHORT-TERM INVESTMENTS - 100.0%
                         
GOVERNMENT AGENCY DEBT - 60.3%
$1,790,000      Federal Agricultural Mortgage Corp (FAMC)      0.010%  07/16/18  $1,789 
 10,000,000      FAMC      0.010   07/27/18   9,987 
 10,000,000      FAMC      0.010   08/03/18   9,984 
 1,250,000      FAMC      0.010   09/05/18   1,246 
 38,000,000      FAMC      0.010   09/10/18   37,855 
 2,650,000      FAMC      0.010   09/28/18   2,637 
 10,000,000      FAMC      0.010   10/02/18   9,952 
 24,250,000      Federal Farm Credit Bank (FFCB)      0.010   07/02/18   24,249 
 13,000,000      FFCB      0.010   07/03/18   12,999 
 16,000,000      FFCB      0.010   07/05/18   15,997 
 22,500,000      FFCB      0.010   07/09/18   22,491 
 11,890,000      FFCB      0.010   07/10/18   11,885 
 21,625,000      FFCB      0.010   07/11/18   21,615 
 20,000,000      FFCB      0.010   07/12/18   19,989 
 40,000,000      FFCB      0.010   07/13/18   39,977 
 30,000,000      FFCB      0.010   07/17/18   29,977 
 22,500,000      FFCB      0.010   07/18/18   22,481 
 12,460,000      FFCB      0.010   07/20/18   12,449 
 19,100,000      FFCB      0.010   07/25/18   19,078 
 20,000,000      FFCB      0.010   07/26/18   19,975 
 33,500,000      FFCB      0.010   07/30/18   33,453 
 26,000,000      FFCB      0.010   07/31/18   25,960 
 25,000,000      FFCB      0.010   08/02/18   24,960 
 10,000,000      FFCB      0.010   08/06/18   9,981 
 35,000,000      FFCB      0.010   08/08/18   34,931 
 33,000,000      FFCB      0.010   08/13/18   32,926 
 16,570,000      FFCB      0.010   08/14/18   16,533 
 29,200,000      FFCB      0.010   09/04/18   29,099 
 15,000,000      FFCB      0.010   09/05/18   14,949 
 15,000,000      FFCB      0.010   09/07/18   14,946 
 45,056,000      FFCB      0.010   09/10/18   44,886 
 12,500,000      FFCB      0.010   09/12/18   12,452 
 32,000,000      FFCB      0.010   09/18/18   31,867 
 9,000,000      FFCB      0.010   09/20/18   8,961 
 36,500,000      FFCB      0.010   09/21/18   36,340 
 22,000,000      FFCB      0.010   09/24/18   21,901 
 17,500,000      FFCB      0.010   09/25/18   17,419 
 8,000,000      FFCB      0.010   09/26/18   7,963 
 12,500,000      FFCB      0.010   10/01/18   12,437 
 27,000,000      FFCB      0.010   10/04/18   26,862 
 36,500,000      FFCB      0.010   10/05/18   36,310 
 20,000,000      FFCB      0.010   10/10/18   19,891 
 47,000,000      FFCB      0.010   10/26/18   46,696 
 10,000,000      FFCB      0.010   11/01/18   9,933 
 1,000,000      FFCB      0.010   11/02/18   993 
 15,000,000      FFCB      0.010   11/21/18   14,877 

419

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

                MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
                     
$30,000,000      FFCB       0.010%  11/30/18 $ 29,735  
 5,000,000      FFCB       0.010   01/18/19   4,941  
 24,880,000      Federal Home Loan Bank (FHLB)       0.010   07/02/18   24,879  
 40,000,000      FHLB       0.010   07/03/18   39,996  
 15,000,000      FHLB       0.010   07/05/18   14,997  
 90,638,000      FHLB       0.010   07/06/18   90,616  
 20,000,000      FHLB       0.010   07/11/18   19,990  
 116,400,000      FHLB       0.010   07/13/18   116,333  
 10,100,000      FHLB       0.010   07/16/18   10,093  
 3,830,000      FHLB       0.010   07/17/18   3,828  
 55,600,000      FHLB       0.010   07/18/18   55,553  
 99,500,000      FHLB       0.010   07/20/18   99,405  
 33,100,000      FHLB       0.010   07/23/18   33,063  
 24,092,000      FHLB       0.010   07/24/18   24,063  
 60,000,000      FHLB       0.010   07/25/18   59,925  
 20,000,000      FHLB       0.010   07/26/18   19,974  
 106,100,000      FHLB       0.010   07/27/18   105,958  
 3,542,000      FHLB       0.010   07/30/18   3,537  
 27,600,000      FHLB       0.010   07/31/18   27,557  
 110,575,000      FHLB       0.010   08/01/18   110,398  
 83,600,000      FHLB       0.010   08/03/18   83,459  
 38,540,000      FHLB       0.010   08/06/18   38,468  
 40,000,000      FHLB       0.010   08/07/18   39,922  
 42,391,000      FHLB       0.010   08/08/18   42,307  
 82,300,000      FHLB       0.010   08/10/18   82,127  
 42,000,000      FHLB       0.010   08/13/18   41,905  
 15,000,000      FHLB       0.010   08/14/18   14,965  
 71,177,000      FHLB       0.010   08/15/18   71,010  
 62,700,000      FHLB       0.010   08/17/18   62,546  
 40,000,000      FHLB       0.010   08/20/18   39,894  
 50,000,000      FHLB       0.010   08/21/18   49,865  
 40,000,000      FHLB       0.010   08/22/18   39,889  
 3,225,000      FHLB       0.010   08/24/18   3,216  
 49,225,000      FHLB       0.010   08/27/18   49,077  
 33,390,000      FHLB       0.010   08/28/18   33,288  
 53,390,000      FHLB       0.010   08/29/18   53,224  
 29,165,000      FHLB       0.010   08/31/18   29,070  
 25,200,000      FHLB       0.010   09/07/18   25,108  
 50,000,000      FHLB       0.010   09/10/18   49,809  
 100,667,000      FHLB       0.010   09/14/18   100,265  
 20,000,000      FHLB       0.010   09/18/18   19,916  
 40,000,000      FHLB       0.010   09/19/18   39,829  
 20,000,000      FHLB       0.010   09/21/18   19,912  
 50,000,000      FHLB       0.010   09/25/18   49,770  
 2,550,000      FHLB       0.010   09/26/18   2,538  
 1,800,000      FHLB       0.010   10/04/18   1,791  
 40,000,000      FHLB       0.010   10/09/18   39,783  
 24,185,000      FHLB       0.010   10/19/18   24,042  
 10,000,000      FHLB       0.010   10/24/18   9,936  
 1,300,000      FHLB       0.010   10/26/18   1,292  
 10,000,000      FHLB       0.010   10/29/18   9,934  
 10,000,000      FHLB       0.010   10/31/18   9,932  
 10,640,000      FHLB       0.010   11/30/18   10,548  
 15,485,000      FHLB       0.010   12/10/18   15,342  

420

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

                MATURITY  VALUE 
PRINCIPAL      ISSUER     RATE  DATE  (000) 
                     
$25,000,000      FHLB       0.010%  12/14/18 $ 24,763  
 10,000,000      Federal Home Loan Mortgage Corp (FHLMC)       0.010   07/06/18   9,998  
 89,000,000      FHLMC       0.010   07/09/18   88,966  
 120,000,000      FHLMC       0.010   07/10/18   119,948  
 2,000,000      FHLMC       0.010   07/11/18   1,999  
 43,990,000      FHLMC       0.010   07/16/18   43,958  
 80,040,000      FHLMC       0.010   07/18/18   79,976  
 10,000,000      FHLMC       0.010   07/19/18   9,991  
 90,428,000      FHLMC       0.010   07/23/18   90,327  
 25,985,000      FHLMC       0.010   07/24/18   25,956  
 58,000,000      FHLMC       0.010   07/30/18   57,916  
 25,000,000      FHLMC       0.010   08/09/18   24,952  
 84,015,000      FHLMC       0.000   08/20/18   83,795  
 38,145,000      FHLMC       0.010   08/21/18   38,043  
 40,000,000      FHLMC       0.010   08/22/18   39,893  
 40,325,000      FHLMC       0.010   08/23/18   40,216  
 80,000,000      FHLMC       0.010   08/24/18   79,777  
 2,500,000      FHLMC       0.010   08/27/18   2,492  
 81,000,000      FHLMC       0.010   09/04/18   80,722  
 50,000,000      FHLMC       0.010   09/05/18   49,826  
 15,000,000      FHLMC       0.010   09/07/18   14,948  
 45,300,000      FHLMC       0.010   09/11/18   45,131  
 50,000,000      FHLMC       0.010   09/12/18   49,808  
 98,500,000      FHLMC       0.010   09/19/18   98,084  
 30,000,000      FHLMC       0.010   09/24/18   29,867  
 35,700,000      FHLMC       0.010   10/03/18   35,524  
 20,000,000      FHLMC       0.010   11/02/18   19,865  
 80,000,000      Federal National Mortgage Association (FNMA)    0.010   07/02/18   79,996  
 40,700,000      FNMA       0.010   07/03/18   40,696  
 76,981,000      FNMA       0.010   07/11/18   76,943  
 80,000,000      FNMA       0.010   07/16/18   79,943  
 101,485,000      FNMA       0.010   07/17/18   101,406  
 4,000,000      FNMA       0.010   07/18/18   3,997  
 30,000,000      FNMA       0.010   07/20/18   29,972  
 90,000,000      FNMA       0.010   07/23/18   89,905  
 95,000,000      FNMA       0.010   07/24/18   94,893  
 63,775,000      FNMA       0.010   07/25/18   63,698  
 3,615,000      FNMA       0.010   07/27/18   3,611  
 10,000,000      FNMA       0.010   07/30/18   9,985  
 9,415,000      FNMA       0.010   07/31/18   9,401  
 20,000,000      FNMA       0.010   08/01/18   19,968  
 40,000,000      FNMA       0.010   08/06/18   39,926  
 100,000,000      FNMA       0.010   08/07/18   99,811  
 30,000,000      FNMA       0.010   08/10/18   29,938  
 35,535,000      FNMA       0.010   08/13/18   35,458  
 39,975,000      FNMA       0.010   08/14/18   39,886  
 8,050,000      FNMA       0.010   08/15/18   8,031  
 60,000,000      FNMA       0.010   08/17/18   59,856  
 45,000,000      FNMA       0.010   08/21/18   44,882  
 56,640,000      FNMA       0.010   08/22/18   56,485  
 40,000,000      FNMA       0.010   08/24/18   39,888  
 40,000,000      FNMA       0.010   08/27/18   39,882  
 59,560,000      FNMA       0.010   08/28/18   59,380  

421

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

          REFERENCE     MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                     
$65,352,000      FNMA      0.010%   08/29/18 $ 65,150  
 17,035,000      FNMA      0.010    09/05/18   16,977  
 30,625,000      FNMA      0.010    09/26/18   30,485  
        TOTAL GOVERNMENT AGENCY DEBT            5,690,148  
                            
TREASURY DEBT - 21.6%
 83,815,000      United States Treasury Bill      0.010    07/05/18   83,799  
 100,000,000      United States Treasury Bill      0.010    07/12/18   99,947  
 101,070,000      United States Treasury Bill      0.010-1.355    07/19/18   100,995  
 86,780,000      United States Treasury Bill      0.010    07/26/18   86,673  
 75,000,000      United States Treasury Bill      0.010    08/02/18   74,883  
 116,125,000      United States Treasury Bill      0.010    08/09/18   115,897  
 113,010,000      United States Treasury Bill      0.010-1.342    08/16/18   112,760  
 89,590,000      United States Treasury Bill      0.010    08/23/18   89,343  
 37,060,000      United States Treasury Bill      0.010    08/30/18   36,945  
 120,225,000      United States Treasury Bill      0.010    09/06/18   119,803  
 94,050,000      United States Treasury Bill      0.010    09/13/18   93,741  
 96,460,000      United States Treasury Bill      0.010    09/20/18   96,053  
 92,535,000      United States Treasury Bill      0.010    09/27/18   92,105  
 50,835,000      United States Treasury Bill      0.010    10/04/18   50,579  
 125,000,000      United States Treasury Bill      0.010    10/11/18   124,416  
 85,735,000      United States Treasury Bill      0.010    10/18/18   85,232  
 15,000,000      United States Treasury Bill      0.010    10/25/18   14,902  
 40,000,000      United States Treasury Bill      0.010    11/01/18   39,732  
 120,000,000      United States Treasury Bill      0.010    11/08/18   119,289  
 50,000,000      United States Treasury Bill      0.010    11/15/18   49,618  
 20,000,000      United States Treasury Bill      0.010    11/23/18   19,836  
 50,000,000      United States Treasury Bill      0.010    11/29/18   49,574  
 87,400,000      United States Treasury Bill      0.010    12/06/18   86,738  
 10,285,000      United States Treasury Bill      0.010    12/13/18   10,189  
 60,000,000      United States Treasury Note      0.750    07/31/18   59,960  
 59,840,000      United States Treasury Note      1.000    08/15/18   59,782  
 31,502,000      United States Treasury Note      0.750    08/31/18   31,439  
 8,000,000      United States Treasury Note      0.875    10/15/18   7,974  
 30,055,000      United States Treasury Note      1.250    12/15/18   29,978  
        TOTAL TREASURY DEBT               2,042,182  
                            
VARIABLE RATE SECURITIES - 18.1%
 44,500,000   i  Federal Agricultural Mortgage Corp (FAMC)  LIBOR 1 M - 0.120%   1.881    08/03/18   44,500  
 50,000,000   i  FAMC  LIBOR 1 M - 0.100%   1.882    11/01/18   50,000  
 25,000,000   i  FAMC  LIBOR 1 M - 0.030%   1.952    11/01/18   25,000  
 25,000,000   i  FAMC  LIBOR 1 M - 0.120%   1.965    11/19/18   25,000  
 30,000,000   i  FAMC  EFFR + 0.100%   2.010    11/30/18   30,000  
 30,000,000   i  FAMC  EFFR + 0.120%   2.030    12/28/18   30,000  
 40,000,000   i  FAMC  EFFR + 0.020%   1.930    01/25/19   40,000  
 31,000,000   i  FAMC  LIBOR 1 M - 0.075%   1.926    02/04/19   31,000  
 25,000,000   i  FAMC  EFFR + 0.010%   1.920    03/01/19   25,000  
 25,000,000   i  FAMC  LIBOR 1 M - 0.105%   1.989    03/01/19   25,000  
422

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

          REFERENCE     MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE & SPREAD  RATE  DATE  (000) 
                     
$25,000,000   i  FAMC  EFFR + 0.080%   1.990%   03/01/19 $ 25,000  
 40,000,000   i  FAMC  EFFR + 0.010%   1.920    04/01/19   40,000  
 30,000,000   i  FAMC  LIBOR 1 M - 0.050%   1.932    07/01/19   30,000  
 50,000,000   i  FAMC  EFFR + 0.150%   2.060    09/27/19   50,000  
 10,000,000   i  Federal Farm Credit Bank (FFCB)  LIBOR 1 M + 0.140%   2.122    08/01/18   10,002  
 40,000,000   i  FFCB  LIBOR 1 M - 0.100%   1.930    08/08/18   40,000  
 20,000,000   i  FFCB  LIBOR 1 M + 0.190%   2.220   08/08/18   20,007 
 20,000,000   i  FFCB  FRED - 2.850%   2.150   08/10/18   20,000 
 46,700,000   i  FFCB  LIBOR 1 M + 0.030%   2.133   08/27/18   46,700 
 95,000,000   i  FFCB  LIBOR 1 M - 0.050%   2.035   09/17/18   94,998 
 10,000,000   i  FFCB  LIBOR 3 M - 0.030%   2.305   09/18/18   10,004 
 50,000,000   i  FFCB  LIBOR 3 M - 0.150%   2.205   11/14/18   49,999 
 13,000,000   i  FFCB  US Treasury Bill 3 M + 0.050%   1.959   12/05/18   13,003 
 45,000,000   i  FFCB  FRED - 3.020%   1.980   01/14/19   45,027 
 20,000,000   i  FFCB  LIBOR 3 M - 0.160%   2.188   01/15/19   20,000 
 50,000,000   i  FFCB  LIBOR 1 M - 0.110%   1.981   01/25/19   50,001 
 33,700,000   i  FFCB  FRED - 3.020%   1.980   03/27/19   33,728 
 50,000,000   i  FFCB  LIBOR 1 M - 0.145%   1.949   03/29/19   49,998 
 50,000,000   i  FFCB  LIBOR 1 M - 0.125%   1.900   06/07/19   50,000 
 55,000,000   i  FFCB  FRED - 3.080%   1.920   06/27/19   55,006 
 50,000,000   i  FFCB  FRED - 3.080%   1.920   08/16/19   49,994 
 30,000,000   i  FFCB  EFFR - 0.015%   1.895   09/20/19   30,000 
 40,000,000   i  FFCB  US Treasury Bill 3 M + 0.050%   1.959   10/18/19   40,000 
 10,000,000   i  FFCB  US Treasury Bill 3 M + 0.050%   1.959   11/04/19   10,001 
 47,000,000   i  FFCB  FRED - 3.065%   1.935   12/26/19   46,972 
 50,000,000   i  FFCB  US Treasury Bill 3 M + 0.055%   1.964   01/27/20   50,000 
 21,700,000   i  FFCB  FRED - 2.870%   2.130   05/29/20   21,700 
 72,500,000   i  Federal Home Loan Bank (FHLB)  LIBOR 3 M - 0.200%   2.155   01/18/19   72,501 
 20,000,000   i  FHLB  LIBOR 3 M - 0.230%   2.125   02/13/19   20,001 
 50,000,000   i  FHLB  LIBOR 1 M - 0.040%   2.044   02/22/19   50,018 
 38,000,000   i  FHLB  LIBOR 3 M - 0.235%   2.079   03/06/19   37,988 
 45,000,000   i  FHLB  LIBOR 1 M - 0.070%   1.976   07/12/19   44,999 
 30,000,000   i  Federal Home Loan Mortgage Corp (FHLMC)  LIBOR 1 M - 0.160%   1.925   07/19/18   30,000 
 72,900,000   i  FHLMC  LIBOR 1 M - 0.100%   1.930   08/08/19   72,901 
 50,000,000   i  United States Treasury Floating Rate Note  US Treasury Bill 3 M + 0.170%   2.079   10/31/18   50,041 
        TOTAL VARIABLE RATE SECURITIES           1,706,089 
                         
        TOTAL SHORT-TERM INVESTMENTS           9,438,419 
        (Cost $9,438,419)                
                         
        TOTAL INVESTMENTS - 100.0%              9,438,419 
        (Cost $9,438,419)                
        OTHER ASSETS & LIABILITIES, NET - (0.0)%           (2,577)
        NET ASSETS - 100.0%             $9,435,842 
423

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

       
       
    Abbreviation(s):
    EFFR Effective Federal Funds Rate
    FRED Federal Bank Prime Loan Rate
    LIBOR  London Interbank Offered Rates
    M Month

 

i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
     
    Cost amounts are in thousands.
424

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

 

Not Applicable.

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

 

Not Applicable.

 

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

 

Not Applicable.

 

Item 10. Submission of Matters to a Vote of Security Holders.

 

There were no material changes to the procedures by which shareholders may recommend nominees to the Registrant’s Board of Trustees.

 

Item 11. Controls and Procedures.

 

(a) An evaluation was performed within 90 days of the filing date of the report under the supervision of the Registrant’s management, including the principal executive officer and principal financial officer, of the effectiveness of the design and operation of the Registrant’s disclosure controls and procedures. Based on that evaluation, the Registrant’s management, including the principal executive officer and principal financial officer, concluded that the Registrant’s disclosure controls and procedures were effective for this semi-annual reporting period.

 

(b) There were no changes in the Registrant’s internal control over financial reporting that occurred during the Registrant’s semi-annual period covered by this report that materially affected, or are reasonably likely to materially affect, the Registrant’s internal control over financial reporting.

 

Item 12. Exhibits.

 

12(a)(2)(i) Section 302 certification of the principal executive officer

12(a)(2)(ii) Section 302 certification of the principal financial officer

12(b) Section 906 certification of principal executive officer and principal financial officer

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

  COLLEGE RETIREMENT EQUITIES FUND
     
Dated: August 15, 2018 By: /s/Carol W. Deckbar
    Carol W. Deckbar
    Principal Executive Officer and
    Executive Vice President

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

 

Dated: August 15, 2018 By: /s/Carol W. Deckbar
    Carol W. Deckbar
    Principal Executive Officer and
    Executive Vice President
    (principal executive officer)

 

Dated: August 15, 2018 By: /s/Glenn E. Brightman
    Glenn E. Brightman
    Executive Vice President, Chief Financial Officer and Principal Accounting Officer
    (principal financial officer)
 

EXHIBIT INDEX

 

Item 12. Exhibits.

 

12(a)(2)(i) Section 302 certification of the principal executive officer

12(a)(2)(ii) Section 302 certification of the principal financial officer

12(b) Section 906 certification of principal executive officer and principal financial officer

 
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Exhibit 12(a)(2)(i)

 

CERTIFICATION

 

I, Carol W. Deckbar, certify that:

 

1. I have reviewed this report on Form N-CSR of the College Retirement Equities Fund;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

 

4. The Registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

 

  (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
  (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
  (c) Evaluated the effectiveness of the Registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and
  (d) Disclosed in this report any change in the Registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting; and
 

5. The Registrant’s other certifying officer(s) and I have disclosed to the Registrant’s auditors and the audit committee of the Registrant’s board of directors (or persons performing the equivalent functions):

 

  (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the Registrant’s ability to record, process, summarize, and report financial information; and
     
  (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the Registrant’s internal control over financial reporting.

 

Date: August 15, 2018 By: /s/Carol W. Deckbar
    Carol W. Deckbar
    Principal Executive Officer and
    Executive Vice President
    (principal executive officer)
 

Exhibit 12(a)(2)(ii)

 

CERTIFICATION

 

I, Glenn E. Brightman, certify that:

 

1. I have reviewed this report on Form N-CSR of the College Retirement Equities Fund;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

 

4. The Registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

 

  (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
  (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
  (c) Evaluated the effectiveness of the Registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and
  (d) Disclosed in this report any change in the Registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting; and
 

5. The Registrant’s other certifying officer(s) and I have disclosed to the Registrant’s auditors and the audit committee of the Registrant’s board of directors (or persons performing the equivalent functions):

 

  (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the Registrant’s ability to record, process, summarize, and report financial information; and
     
  (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the Registrant’s internal control over financial reporting.

 

Date: August 15, 2018 By: /s/Glenn E. Brightman
    Glenn E. Brightman
    Executive Vice President, Chief Financial Officer and Principal Accounting Officer
    (principal financial officer)
 
EX-99.906 CERT 9 c91490_ex99-906cert.htm

Exhibit 12(b)

 

CERTIFICATION

 

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code), each of the undersigned officers of the College Retirement Equities Fund (the “Fund”) does hereby certify, to such officer’s knowledge, that:

 

This report on Form N-CSR of the Fund (the “Form N-CSR”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934 and information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the Fund.

 

Dated: August 15, 2018 By: /s/Carol W. Deckbar
    Carol W. Deckbar
    Principal Executive Officer and Executive Vice President
    (principal executive officer)

 

Dated: August 15, 2018 By: /s/Glenn E. Brightman
    Glenn E. Brightman
    Executive Vice President, Chief Financial Officer and Principal Accounting Officer
    (principal financial officer)