0001752724-19-174151.txt : 20191122 0001752724-19-174151.hdr.sgml : 20191122 20191122133850 ACCESSION NUMBER: 0001752724-19-174151 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20190930 FILED AS OF DATE: 20191122 PERIOD START: 20191231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: THRIVENT SERIES FUND INC CENTRAL INDEX KEY: 0000790166 IRS NUMBER: 000000000 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-04603 FILM NUMBER: 191240319 BUSINESS ADDRESS: STREET 1: 625 FOURTH AVE SOUTH CITY: MINNEAPOLIS STATE: MN ZIP: 55415 BUSINESS PHONE: 612-844-7190 MAIL ADDRESS: STREET 1: 625 FOURTH AVE SOUTH CITY: MINNEAPOLIS STATE: MN ZIP: 55415 FORMER COMPANY: FORMER CONFORMED NAME: LB SERIES FUND INC DATE OF NAME CHANGE: 19950428 FORMER COMPANY: FORMER CONFORMED NAME: LBVIP SERIES FUND INC/ DATE OF NAME CHANGE: 19940824 FORMER COMPANY: FORMER CONFORMED NAME: LBVIP SERIES FUND INC DATE OF NAME CHANGE: 19920703 0000790166 S000001427 Thrivent Moderately Aggressive Allocation Portfolio C000003834 Class A NPORT-P 1 primary_doc.xml NPORT-P false 0000790166 XXXXXXXX S000001427 C000003834 Thrivent Series Funds, Inc. 811-04603 0000790166 549300VNHRP1O3O9AF57 625 Fourth Avenue South Minneapolis 55415 612-844-5168 THRIVENT MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO S000001427 JIOB035LX0ZAHINBJM32 2019-12-31 2019-09-30 N 6809020001.92 342853643.71 6466166358.21 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 323247226.14000000 0.00000000 0.00000000 1415383.14 USD N CVS Health Corporation 549300EJG376EN5NQE29 CVS Health Corporation 126650CC2 110000.00000000 PA USD 116248.34000000 0.001797793832 Long DBT CORP US N 2 2023-12-05 Fixed 0.04000000 N N N N N N Home Partners America 2019-1 Trust N/A Home Partners of America Trust 43731QAA6 1991279.29000000 PA USD 2023637.58000000 0.031295785909 Long ABS-O CORP US N 2 2039-09-17 Fixed 0.02908000 N N N N N N Siemens Aktiengesellschaft TAFO772JB70PDRN5VS48 Siemens Financieringsmaatschappij NV 82620KAT0 932000.00000000 PA USD 1082108.49000000 0.016734931179 Long DBT CORP NL N 2 2047-03-16 Fixed 0.04200000 N N N N N N First Mid Bancshares, Inc. 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ZXZE9GCS2BB547GJW219 WPX Energy, Inc. 98212B103 38766.00000000 NS USD 410531.94000000 0.006348923260 Long EC CORP US N 1 N N N Auto Trader Group plc 213800QLK9BZILB1DI86 Auto Trader Group plc N/A 41026.00000000 NS 257135.88000000 0.003976635702 Long EC CORP GB N 2 N N N Bravo Residential Funding Trust 2019-1 N/A BRAVO Residential Funding Trust 10568GAD9 364562.03000000 PA USD 371614.15000000 0.005747055201 Long ABS-CBDO CORP US N 2 2058-03-25 Fixed 0.03500000 N N N N N N Morgan Stanley & Co N/A CME E-mini NASDAQ 100 Index N/A -1234.00000000 NC USD 3042215.49000000 0.047048209425 N/A DE CORP US N 1 Morgan Stanley & Company N/A Short NASDAQ 100 Stock Index NDX 2019-12-23 -194818155.49000100 USD 3042215.49000000 N N N The Bank of Nova Scotia L3I9ZG2KFGXZ61BMYR72 Bank of Nova Scotia 064159JG2 510000.00000000 PA USD 518920.67000000 0.008025167328 Long DBT CORP CA N 2 2022-03-07 Fixed 0.02700000 N N N N N N Humana Inc. 529900YLDW34GJAO4J06 Humana, Inc. 444859102 3768.00000000 NS USD 963364.56000000 0.014898542762 Long EC CORP US N 1 N N N Continental Building Products, Inc. 529900IRGIZ4M7ZBPJ74 Continental Building Products, Inc. 211171103 6953.00000000 NS USD 189747.37000000 0.002934464711 Long EC CORP US N 1 N N N Prudential Financial, Inc. N/A Five Corners Funding Trust 33829TAA4 1090000.00000000 PA USD 1178445.48000000 0.018224793714 Long DBT CORP US N 2 2023-11-15 Fixed 0.04419000 N N N N N N Abbott Laboratories HQD377W2YR662HK5JX27 Abbott Laboratories 002824100 146658.00000000 NS USD 12270874.86000000 0.189770478831 Long EC CORP US N 1 N N N Broadridge Financial Solutions, Inc. N/A Broadridge Financial Solutions, Inc. 11133T103 2268.00000000 NS USD 282207.24000000 0.004364367143 Long EC CORP US N 1 N N N Houlihan Lokey, Inc. 549300S3CNGTQ1QZVY46 Houlihan Lokey, Inc. 441593100 23347.00000000 NS USD 1052949.70000000 0.016283987167 Long EC CORP US N 1 N N N CubeSmart N/A CubeSmart 229663109 10221.00000000 NS USD 356712.90000000 0.005516605670 Long EC CORP US N 1 N N N Raven Industries, Inc. ZN4TZXB8X0VUOSZJ5442 Raven Industries, Inc. 754212108 47114.00000000 NS USD 1576434.44000000 0.024379738359 Long EC CORP US N 1 N N N Cigna Corporation 45RS2W538ZOGNWLVIX82 Cigna Corporation 125509BV0 525000.00000000 PA USD 534316.18000000 0.008263260646 Long DBT CORP US N 2 2027-10-15 Fixed 0.03050000 N N N N N N Curtiss-Wright Corporation TEL51ETZWP7D0ZM4X325 Curtiss-Wright Corporation 231561101 70697.00000000 NS USD 9146070.89000000 0.141445029146 Long EC CORP US N 1 N N N Paragon Banking Group PLC 213800S1TDKIB1IUTS72 Paragon Banking Group plc N/A 1135.00000000 NS 6730.48000000 0.000104087640 Long EC CORP GB N 2 N N N Honeywell International Inc. ISRPG12PN4EIEOEMW547 Honeywell International, Inc. 438516106 127553.00000000 NS USD 21581967.60000000 0.333767589703 Long EC CORP US N 1 N N N UBS Commercial Mortgage Trust 2018-C11 N/A UBS Commercial Mortgage Trust 90276XAV7 2000000.00000000 PA USD 2267967.60000000 0.035074377526 Long ABS-MBS CORP US N 2 2051-06-15 Variable 0.04241100 N N N N N N Continental Resources, Inc. XXRTID9RYWOZ0UPIVR53 Continental Resources, Inc. 212015AS0 600000.00000000 PA USD 619959.13000000 0.009587738632 Long DBT CORP US N 2 2028-01-15 Fixed 0.04375000 N N N N N N Barclays PLC 213800LBQA1Y9L22JB70 Barclays plc 06738EAL9 790000.00000000 PA USD 795722.76000000 0.012305943211 Long DBT CORP GB N 2 2021-01-12 Fixed 0.03250000 N N N N N N Synchrony Financial 549300RS7EWPM9MA6C78 Synchrony Financial 87165BAM5 700000.00000000 PA USD 717722.22000000 0.011099655966 Long DBT CORP US N 2 2027-12-01 Fixed 0.03950000 N N N N N N Apple Inc. HWUPKR0MPOU8FGXBT394 Apple, Inc. 037833CX6 640000.00000000 PA USD 673087.52000000 0.010409375242 Long DBT CORP US N 2 2027-06-20 Fixed 0.03000000 N N N N N N Comcast Corporation 51M0QTTNCGUN7KFCFZ59 Comcast Corporation 20030NBP5 960000.00000000 PA USD 1120533.31000000 0.017329175402 Long DBT CORP US N 2 2035-08-15 Fixed 0.04400000 N N N N N N 2019-10-28 Thrivent Series Fund, Inc. Sarah L. Bergstrom Sarah L. Bergstrom Head of Fund Accounting & Assistant Treasurer XXXX NPORT-EX 2 TSF-9.30.19_vdvqw0af.htm THRIVENT SERIES FUNDS - HOLDINGS 9.30.2019 HTML

AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (48.7%)   Value  

 

 

Communications Services (2.4%)

 
38,193  

Activision Blizzard, Inc.

    $2,021,174  
9,281  

Alphabet, Inc., Class Aa

    11,333,400  
2,030  

Alphabet, Inc., Class Ca

    2,474,570  
15,600  

Auto Trader Group plcb

    97,775  
13,585  

CBS Corporation

    548,426  
67,910  

Comcast Corporation

    3,061,383  
19,668  

DISH Network Corporationa

    670,089  
33,752  

Facebook, Inc.a

    6,010,556  
770  

Hemisphere Media Group, Inc.a

    9,409  
8,000  

HKT Trust and HKT, Ltd.

    12,691  
280  

Ipsos SA

    7,976  
1,200  

KDDI Corporation

    31,311  
7,838  

Mediaset Espana Comunicacion SAc

    50,523  
6,333  

News Corporation

    90,530  
61,995  

ORBCOMM, Inc.a

    295,096  
681  

Rightmove plc

    4,608  
1,018  

Scholastic Corporation

    38,440  
3,581  

Seven West Media, Ltd.a

    943  
12,847  

Take-Two Interactive Software, Inc.a

    1,610,243  
3,750  

Telenor ASA

    75,240  
12,397  

Telstra Corporation, Ltd.

    29,387  
2,800  

TV Asahi Holdings Corporation

    44,202  
19,548  

Twitter, Inc.a

    805,378  
74,088  

Verizon Communications, Inc.

    4,471,952  
630  

Wolters Kluwer NV

    45,968  
14,342  

Zillow Group, Inc.a

    423,734  
 

 

 
  Total     34,265,004  
 

 

 

Consumer Discretionary (5.7%)

 
13,313  

Alibaba Group Holding, Ltd. ADRa

    2,226,333  
9,099  

Amazon.com, Inc.a

    15,795,045  
6,237  

American Axle & Manufacturing Holdings,
Inc.a

    51,268  
300  

AOKI Holdings, Inc.

    2,893  
600  

Aoyama Trading Company, Ltd.

    10,472  
11,081  

Aptiv plc

    968,701  
500  

Autobacs Seven Company, Ltd.

    8,200  
4,685  

Barratt Developments plc

    37,295  
98  

Barrett Business Services, Inc.

    8,704  
900  

Benesse Holdings, Inc.

    23,445  
1,608  

Berkeley Group Holdings plc

    82,561  
526  

Booking Holdings, Inc.a

    1,032,333  
21,413  

BorgWarner, Inc.

    785,429  
20,282  

Bright Horizons Family Solutions, Inc.a

    3,093,005  
565  

Buckle, Inc.

    11,639  
9,886  

Burlington Stores, Inc.a

    1,975,421  
24,661  

Canada Goose Holdings, Inc.a,c

    1,084,344  
2,101  

Century Casinos, Inc.a

    16,241  
24,421  

Children’s Place, Inc.c

    1,880,173  
2,019  

Chipotle Mexican Grill, Inc.a

    1,696,909  
400  

Chiyoda Company, Ltd.

    6,283  
454  

Cie Generale des Etablissements Michelin

    50,550  
8,800  

Citizen Watch Company, Ltd.

    43,173  
287  

Compass Group plc

    7,385  
2,063  

Cooper-Standard Holdings, Inc.a

    84,335  
945  

Countryside Properties plcb

    3,901  
34,420  

Crocs, Inc.a

    955,499  
3,292  

CSS Industries, Inc.

    13,069  
3,013  

Culp, Inc.

    49,112  
14,130  

D.R. Horton, Inc.

    744,792  
15,187  

Delphi Technologies plc

    203,506  
2,600  

Denso Corporation

    114,887  
4,171  

Domino’s Pizza, Inc.

    1,020,185  
38,658  

Duluth Holdings, Inc.a

    327,820  
Shares   Common Stock (48.7%)   Value  

 

 

Consumer Discretionary (5.7%) - continued

 

6,435  

Emerald Expositions Events, Inc.

    $62,613  
3,091  

Ethan Allen Interiors, Inc.

    59,038  
14,931  

Etsy, Inc.a

    843,602  
200  

Exedy Corporation

    3,922  
20,528  

Five Below, Inc.a

    2,588,581  
113  

Genuine Parts Company

    11,254  
29,250  

G-III Apparel Group, Ltd.a

    753,773  
21,281  

Grand Canyon Education, Inc.a

    2,089,794  
23,267  

Harley-Davidson, Inc.

    836,914  
22,137  

Home Depot, Inc.

    5,136,227  
2,245  

Hooker Furniture Corporation

    48,133  
26,913  

International Game Technology plc

    382,434  
293  

Johnson Outdoors, Inc.

    17,158  
17,559  

Knoll, Inc.

    445,121  
26,530  

Lowe’s Companies, Inc.

    2,917,239  
4,200  

Lululemon Athletica, Inc.a

    808,626  
3,990  

Marcus Corporation

    147,670  
1,371  

McDonald’s Corporation

    294,367  
9,791  

Michaels Companies, Inc.a

    95,854  
3,396  

Modine Manufacturing Companya

    38,613  
3,680  

Mohawk Industries, Inc.a

    456,578  
8,105  

Moneysupermarket.com Group plc

    37,692  
21,912  

Movado Group, Inc.

    544,732  
9,488  

Netflix, Inc.a

    2,539,179  
2,700  

NHK Spring Company, Ltd.

    20,713  
50,199  

NIKE, Inc.

    4,714,690  
22,000  

Nissan Motor Company, Ltd.

    137,354  
29,001  

Norwegian Cruise Line Holdings, Ltd.a

    1,501,382  
35  

NVR, Inc.a

    130,107  
24,371  

Ollie’s Bargain Outlet Holdings, Inc.a

    1,429,115  
400  

Onward Holdings Company, Ltd.

    2,084  
1,742  

O’Reilly Automotive, Inc.a

    694,204  
14,322  

Oxford Industries, Inc.

    1,026,887  
7,531  

Park Hotels & Resorts, Inc.

    188,049  
1,600  

Park24 Company, Ltd.

    37,170  
39,000  

Planet Fitness, Inc.a

    2,256,930  
87,654  

Playa Hotels and Resorts NVa

    686,331  
300  

Plenus Company, Ltd.c

    5,040  
126,391  

Red Rock Resorts, Inc.

    2,566,369  
4,113  

Redrow plc

    31,236  
5,384  

RHa,c

    919,749  
300  

Rinnai Corporation

    20,215  
3,629  

Ruth’s Hospitality Group, Inc.

    74,086  
900  

Sangetsu Company, Ltd.

    17,001  
5,100  

Sekisui House, Ltd.

    100,634  
200  

SHIMAMURA Company, Ltd.

    15,889  
9,130  

Sony Corporation ADR

    539,857  
5,411  

Standard Motor Products, Inc.

    262,704  
24,170  

Starbucks Corporation

    2,137,111  
676  

Steven Madden, Ltd.

    24,194  
435  

Strategic Education, Inc.

    59,108  
200  

Sumitomo Forestry Company, Ltd.

    2,670  
7,200  

Sumitomo Rubber Industries, Ltd.

    85,737  
1,385  

Super Retail Group, Ltd.

    9,274  
100  

Takara Standard Company, Ltd.

    1,656  
15,604  

Taylor Wimpey plc

    30,973  
16,966  

Texas Roadhouse, Inc.

    891,054  
40,209  

Toll Brothers, Inc.

    1,650,579  
3,400  

Toyoda Gosei Company, Ltd.

    68,447  
4,798  

Tupperware Brands Corporation

    76,144  
5,514  

Ulta Beauty, Inc.a

    1,382,084  
300  

United Arrows, Ltd.

    8,783  
7,990  

Vail Resorts, Inc.

    1,818,204  
553  

WH Smith plc

    13,513  
12,104  

Wingstop, Inc.

    1,056,437  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

1


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (48.7%)   Value  

 

 

Consumer Discretionary (5.7%) - continued

 
2,500  

Yahoo Japan Corporation

    $7,043  
22,960  

Zumiez, Inc.a

    727,258  
 

 

 
  Total     83,002,087  
 

 

 

Consumer Staples (2.0%)

 
500  

Arcs Company, Ltd.

    10,513  
8,143  

Calavo Growers, Inc.c

    775,051  
635  

Carlsberg AS

    93,839  
22,507  

Casey’s General Stores, Inc.

    3,627,228  
7,174  

Central Garden & Pet Companya

    209,696  
1,284  

Central Garden & Pet Company, Class Aa

    35,599  
20,684  

Coca-Cola Company

    1,126,037  
21,498  

Colgate-Palmolive Company

    1,580,318  
1,336  

Costco Wholesale Corporation

    384,915  
122,259  

Cott Corporation

    1,524,570  
671  

ForFarmers BV

    4,227  
158  

Glanbia plc

    1,963  
491  

Grocery Outlet Holding Corporationa

    17,028  
86,226  

Hain Celestial Group, Inc.a

    1,851,703  
139  

Inter Parfums, Inc.

    9,726  
11,100  

Japan Tobacco, Inc.

    243,197  
12,976  

John B. Sanfilippo & Son, Inc.

    1,253,482  
5,830  

Kimberly-Clark Corporation

    828,151  
86  

L’Oreal SA

    24,051  
100  

Ministop Company, Ltd.

    1,289  
45,264  

Monster Beverage Corporationa

    2,628,028  
1,265  

Nestle SA

    137,195  
12,684  

PepsiCo, Inc.

    1,738,976  
28,530  

Philip Morris International, Inc.

    2,166,283  
13,739  

Procter & Gamble Company

    1,708,857  
847  

Seneca Foods Corporationa

    26,409  
1,400  

Sugi Holdings Company, Ltd.

    75,978  
2,900  

Sundrug Company, Ltd.

    91,505  
151,697  

SunOpta, Inc.a

    273,055  
11,458  

TreeHouse Foods, Inc.a

    635,346  
200  

TSURUHA Holdings, Inc.

    21,841  
78,568  

Turning Point Brands, Inc.

    1,811,778  
2,411  

Unilever NV

    144,775  
3,973  

Unilever plc

    238,784  
27,436  

Wal-Mart Stores, Inc.

    3,256,104  
 

 

 
  Total     28,557,497  
 

 

 

Energy (1.2%)

 
7,965  

Abraxas Petroleum Corporationa

    4,042  
54,124  

Archrock, Inc.

    539,616  
35,439  

BP plc ADRc

    1,346,328  
28,285  

Chevron Corporation

    3,354,601  
5,400  

Concho Resources, Inc.

    366,660  
12,188  

Diamondback Energy, Inc.

    1,095,823  
1,926  

Dril-Quip, Inc.a

    96,647  
1,550  

Enterprise Products Partners, LP

    44,299  
28,760  

EQT Corporation

    306,007  
2,720  

Era Group, Inc.a

    28,723  
189,306  

Euronav NV

    1,741,615  
685  

Evolution Petroleum Corporation

    4,000  
5,664  

Exterran Corporationa

    73,972  
718  

Exxon Mobil Corporation

    50,698  
6,737  

Frank’s International NVa

    32,001  
106  

Gaztransport Et Technigaz SA

    10,488  
19,670  

Gran Tierra Energy, Inc.a

    24,588  
4,434  

Gulfport Energy Corporationa

    12,016  
30,754  

Halliburton Company

    579,713  
9,138  

Liberty Oilfield Services, Inc.

    98,965  
93,968  

Marathon Oil Corporation

    1,152,987  
26,150  

Marathon Petroleum Corporation

    1,588,613  
Shares   Common Stock (48.7%)   Value  

 

 

Energy (1.2%) - continued

 

317

  Matrix Service Companya     $5,433  

37,759

  Nabors Industries, Ltd.     70,609  

89,589

  Nine Energy Service, Inc.a     552,764  

28,404

  Oceaneering International, Inc.a     384,874  

7,239

  Oil States International, Inc.a     96,279  

53,407

  Patterson-UTI Energy, Inc.     456,630  

8,352

  Pioneer Natural Resources Company     1,050,431  

149

  REX American Resources Corporationa     11,373  

4,823

  Royal Dutch Shell plc, Class A     141,448  

6,683

  Royal Dutch Shell plc, Class B     197,518  

1,659

  SEACOR Holdings, Inc.a     78,089  

1,296

  Select Energy Services, Inc.a     11,223  

53,119

  Talos Energy, Inc.a     1,079,909  

22,570

  TechnipFMC plc     544,840  

734

  U.S. Silica Holdings, Inc.     7,017  

4,098

  Unit Corporationa     13,851  
43,958  

WPX Energy, Inc.a

    465,515  
 

 

 
  Total     17,720,205  
 

 

 

Financials (7.6%)

 
137  

1st Source Corporation

    6,265  
815  

AB Industrivarden

    17,829  
24,480  

Aflac, Inc.

    1,280,794  
4,703  

AG Mortgage Investment Trust, Inc.

    71,250  
1,269  

Alleghany Corporationa

    1,012,357  
834  

Allianz SE

    194,133  
30,647  

Ally Financial, Inc.

    1,016,255  
2,258  

American Express Company

    267,076  
27,174  

American Financial Group, Inc.

    2,930,716  
14,670  

American International Group, Inc.

    817,119  
7,514  

Ameriprise Financial, Inc.

    1,105,309  
19,932  

Ameris Bancorp

    802,064  
8,709  

Argo Group International Holdings, Ltd.

    611,720  
12,146  

Arthur J. Gallagher & Company

    1,087,917  
925  

Artisan Partners Asset Management, Inc.

    26,122  
71,270  

Assured Guaranty, Ltd.

    3,168,664  
268  

Baloise Holding AG

    48,019  
9,010  

Bank Leumi Le-Israel BM

    64,150  
175,579  

Bank of America Corporation

    5,121,639  
1,325  

Bank of Marin Bancorp

    54,974  
2,189  

Bank of Montreal

    161,228  
3,030  

BankFinancial Corporation

    36,057  
2,063  

Banner Corporation

    115,879  
4,195  

Berkshire Hathaway, Inc.a

    872,644  
1,787  

BlackRock, Inc.

    796,359  
8,915  

BOK Financial Corporation

    705,622  
21,851  

Boston Private Financial Holdings, Inc.

    254,673  
33,504  

Bridgewater Bancshares, Inc.a

    400,038  
71,841  

BrightSphere Investment Group

    711,944  
3,192  

Brown & Brown, Inc.

    115,104  
1,995  

Byline Bancorp, Inc.a

    35,671  
20,607  

Capital One Financial Corporation

    1,874,825  
10,053  

Cboe Global Markets, Inc.

    1,155,190  
650  

Central Pacific Financial Corporation

    18,460  
43,341  

Charles Schwab Corporation

    1,812,954  
7,570  

Chubb, Ltd.

    1,222,101  
9,217  

CI Financial Corporation

    134,479  
4,062  

Cincinnati Financial Corporation

    473,914  
53,695  

Citigroup, Inc.

    3,709,251  
10,863  

Citizens Financial Group, Inc.

    384,224  
3,451  

CNP Assurances

    66,689  
19,667  

Cohen & Steers, Inc.

    1,080,308  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

2


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (48.7%)   Value  

 

 

Financials (7.6%) - continued

 
3,251  

Colony Capital, Inc.

    $19,571  
18,541  

Comerica, Inc.

    1,223,521  
11,043  

Community Trust Bancorp, Inc.

    470,211  
8,300  

DBS Group Holdings, Ltd.

    150,156  
151  

Deutsche Boerse AG

    23,550  
3,129  

Deutsche Pfandbriefbank AGb

    38,148  
49  

Diamond Hill Investment Group, Inc.

    6,768  
5,455  

Direct Line Insurance Group plc

    20,126  
11,094  

Discover Financial Services

    899,612  
3,891  

DnB ASA

    68,590  
14,001  

Dynex Capital, Inc.

    206,935  
39,985  

E*TRADE Financial Corporation

    1,746,945  
6,795  

East West Bancorp, Inc.

    300,951  
3,592  

Ellington Residential Mortgage REIT

    37,860  
2,757  

Enterprise Financial Services Corporation

    112,348  
18,526  

Essent Group, Ltd.

    883,134  
1,628  

Euronext NVb

    133,303  
1,324  

FBL Financial Group, Inc.

    78,791  
333  

Federal Agricultural Mortgage Corporation

    27,193  
74,045  

Fifth Third Bancorp

    2,027,352  
4,280  

Financial Institutions, Inc.

    129,170  
7,918  

First American Financial Corporation

    467,241  
184  

First Bancorp

    6,606  
9,109  

First Busey Corporation

    230,276  
3,291  

First Citizens BancShares, Inc.

    1,551,871  
15,140  

First Defiance Financial Corporation

    438,530  
3,260  

First Financial Corporation

    141,712  
13,466  

First Hawaiian, Inc.

    359,542  
27,169  

First Interstate BancSystem, Inc.

    1,093,281  
424  

First Mid-Illinois Bancshares, Inc.

    14,679  
5,926  

First Midwest Bancorp, Inc.

    115,438  
486  

First of Long Island Corporation

    11,057  
12,204  

First Republic Bank

    1,180,127  
13,682  

FlexiGroup, Ltd.

    23,592  
2,378  

Goldman Sachs Group, Inc.

    492,793  
9,075  

Great Southern Bancorp, Inc.

    516,821  
27,862  

Hamilton Lane, Inc.

    1,587,020  
822  

Hancock Whitney Corporation

    31,478  
3,475  

Hanover Insurance Group, Inc.

    471,002  
52,046  

Hartford Financial Services Group, Inc.

    3,154,508  
21,557  

Heartland Financial USA, Inc.

    964,460  
99,533  

Heritage Commerce Corporation

    1,170,010  
6,043  

Hometrust Bancshares, Inc.

    157,541  
20,364  

Horace Mann Educators Corporation

    943,464  
5,964  

Horizon Bancorp, Inc.

    103,535  
10,782  

Houlihan Lokey, Inc.

    486,268  
18,607  

HSBC Holdings plc

    142,571  
27,930  

IBERIABANK Corporation

    2,109,832  
7,663  

Independent Bank Corporation

    163,337  
18,214  

Interactive Brokers Group, Inc.

    979,549  
48,987  

Intercontinental Exchange, Inc.

    4,520,030  
1,450  

International Bancshares Corporation

    55,999  
21,083  

Israel Discount Bank, Ltd.

    92,664  
22,685  

J.P. Morgan Chase & Company

    2,669,798  
8,823  

Kemper Corporation

    687,753  
58,589  

KeyCorp

    1,045,228  
620  

KKR Real Estate Finance Trust, Inc.

    12,109  
3,253  

Lakeland Bancorp, Inc.

    50,194  
1,541  

Laurentian Bank of Canada

    52,377  
11,569  

Loews Corporation

    595,572  
3,927  

M&T Bank Corporation

    620,348  
7,380  

Manulife Financial Corporation

    135,362  
Shares   Common Stock (48.7%)   Value  

 

 

Financials (7.6%) - continued

 
880  

Markel Corporationa

    $1,040,072  
11,977  

Medibank Private, Ltd.

    27,505  
1,630  

Mercantile Bank Corporation

    53,464  
16,052  

Meridian Bancorp, Inc.

    300,975  
21,540  

MetLife, Inc.

    1,015,826  
10,462  

MidWestOne Financial Group, Inc.

    319,300  
863  

Moody’s Corporation

    176,768  
17,930  

Morgan Stanley

    765,073  
4,572  

MSCI, Inc.

    995,553  
1,345  

National Bank of Canada

    66,923  
71  

National Western Life Group, Inc.

    19,054  
1,477  

Newmark Group, Inc.

    13,382  
12,930  

Northern Trust Corporation

    1,206,628  
2,674  

Old Second Bancorp, Inc.

    32,676  
988  

Opus Bank

    21,509  
9,739  

PacWest Bancorp

    353,915  
411  

Paragon Banking Group plc

    2,437  
409  

Pargesa Holding SA

    31,460  
58,185  

PCSB Financial Corporation

    1,163,118  
471  

Peapack-Gladstone Financial Corporation

    13,202  
1,116  

Peoples Bancorp, Inc.

    35,500  
5,420  

Popular, Inc.

    293,114  
8,194  

Primerica, Inc.

    1,042,523  
59,466  

Prosight Global, Inc.a

    1,151,262  
7,040  

Prudential Financial, Inc.

    633,248  
6,889  

QCR Holdings, Inc.

    261,644  
28,178  

Radian Group, Inc.

    643,586  
30,770  

Raymond James Financial, Inc.

    2,537,294  
4,690  

Reinsurance Group of America, Inc.

    749,837  
761  

Royal Bank of Canada

    61,731  
8,348  

S&P Global, Inc.

    2,045,093  
182  

S&T Bancorp, Inc.

    6,648  
4,322  

Sandy Spring Bancorp, Inc.

    145,695  
71,984  

Santander Consumer USA Holdings, Inc.

    1,836,312  
66,071  

Seacoast Banking Corporation of Floridaa

    1,672,257  
7,006  

SEI Investments Company

    415,141  
500  

Senshu Ikeda Holdings, Inc.

    868  
2,173  

Skandinaviska Enskilda Banken AB

    19,967  
234,615  

SLM Corporation

    2,070,477  
19,167  

State Auto Financial Corporation

    620,819  
6,720  

State Street Corporation

    397,757  
4,288  

Stifel Financial Corporation

    246,045  
945  

Sun Life Financial, Inc.

    42,255  
7,675  

SVB Financial Groupa

    1,603,691  
50,572  

Synovus Financial Corporation

    1,808,455  
1,150  

Territorial Bancorp, Inc.

    32,867  
882  

Topdanmark AS

    42,576  
3,766  

Toronto-Dominion Bank

    219,590  
2,506  

TPG RE Finance Trust, Inc.

    49,719  
2,915  

TriCo Bancshares

    105,815  
18,949  

TrustCo Bank Corporation

    154,434  
37,110  

U.S. Bancorp

    2,053,667  
26,137  

United Community Banks, Inc.

    740,984  
528  

Univest Financial Corporation

    13,469  
92  

Virtus Investment Partners, Inc.

    10,172  
1,380  

Walker & Dunlop, Inc.

    77,183  
1,987  

Washington Trust Bancorp, Inc.

    95,992  
511  

WesBanco, Inc.

    19,096  
4,798  

Western Alliance Bancorp

    221,092  
170  

Westwood Holdings Group, Inc.

    4,704  
889  

Willis Towers Watson plc

    171,550  
16,009  

Wintrust Financial Corporation

    1,034,662  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

3


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (48.7%)   Value  

 

 

Financials (7.6%) - continued

 
61,761  

Zions Bancorporations NA

    $2,749,600  
 

 

 
  Total     109,849,027  
 

 

 

Health Care (6.7%)

 
32,987  

Abbott Laboratories

    2,760,022  
1,756  

ABIOMED, Inc.a

    312,375  
15,757  

Aerie Pharmaceuticals, Inc.a,c

    302,850  
21,649  

Agilent Technologies, Inc.

    1,658,963  
22,272  

Agios Pharmaceuticals, Inc.a,c

    721,613  
3,383  

Alexion Pharmaceuticals, Inc.a

    331,331  
4,897  

AmerisourceBergen Corporation

    403,170  
8,034  

Amgen, Inc.

    1,554,659  
419  

Amplifon SPA

    10,280  
395  

AngioDynamics, Inc.a

    7,276  
5,674  

Arena Pharmaceuticals, Inc.a

    259,699  
76  

Atrion Corporation

    59,217  
18,934  

Axonics Modulation Technologies, Inc.a

    509,703  
22,543  

Bausch Health Companies, Inc.a

    492,565  
1,149  

Becton, Dickinson and Company

    290,651  
1,590  

Biogen, Inc.a

    370,184  
9,690  

BioMarin Pharmaceutical, Inc.a

    653,106  
506  

Bio-Rad Laboratories, Inc.a

    168,366  
10,925  

Bio-Techne Corporation

    2,137,695  
10,161  

Bruker Corporation

    446,373  
53,396  

Catalent, Inc.a

    2,544,853  
2,398  

Charles River Laboratories International,
Inc.a

    317,423  
283  

Chemed Corporation

    118,172  
3,137  

Cigna Holding Company

    476,165  
6,757  

Concert Pharmaceuticals, Inc.a

    39,731  
9,411  

CryoLife, Inc.a

    255,509  
32,919  

CVS Health Corporation

    2,076,201  
9,567  

Danaher Corporation

    1,381,762  
6,273  

Dexcom, Inc.a

    936,183  
16,631  

Edwards Lifesciences Corporationa

    3,657,323  
486  

Enanta Pharmaceuticals, Inc.a

    29,199  
38,640  

GenMark Diagnostics, Inc.a

    234,158  
45,241  

Gilead Sciences, Inc.

    2,867,375  
10,572  

GlaxoSmithKline plc

    226,606  
88,649  

Halozyme Therapeutics, Inc.a

    1,374,946  
1,596  

HealthStream, Inc.a

    41,320  
4,235  

Hill-Rom Holdings, Inc.

    445,649  
1,251  

Humana, Inc.

    319,843  
150  

IDEXX Laboratories, Inc.a

    40,790  
6,454  

Illumina, Inc.a

    1,963,436  
11,939  

Immunomedics, Inc.a

    158,311  
21,661  

Inspire Medical Systems, Inc.a

    1,321,754  
2,873  

Insulet Corporationa

    473,844  
5,677  

Intuitive Surgical, Inc.a

    3,065,183  
10,055  

Jazz Pharmaceuticals, Inc.a

    1,288,448  
35,534  

Johnson & Johnson

    4,597,389  
300  

KYORIN Holdings, Inc.

    4,980  
1,204  

Laboratory Corporation of America
Holdingsa

    202,272  
25,033  

LHC Group, Inc.a

    2,842,747  
8,600  

Ligand Pharmaceuticals, Inc.a

    856,044  
72  

LNA Sante

    3,680  
161  

Magellan Health Services, Inc.a

    9,998  
52  

Masimo Corporationa

    7,737  
2,795  

McKesson Corporation

    381,965  
38,715  

Medtronic plc

    4,205,223  
47,496  

Merck & Company, Inc.

    3,998,213  
1,000  

Mitsubishi Tanabe Pharma Corporation

    11,020  
38,058  

Natera, Inc.a

    1,248,302  
Shares   Common Stock (48.7%)   Value  

 

 

Health Care (6.7%) - continued

 
2,872  

National Healthcare Corporation

    $235,073  
13,014  

Neurocrine Biosciences, Inc.a

    1,172,692  
4,432  

Nevro Corporationa

    381,019  
7,151  

NextGen Healthcare, Inc.a

    112,056  
3,462  

Novartis AG

    300,457  
5,304  

Novo Nordisk AS

    274,090  
4,519  

Novocure, Ltd.a

    337,931  
7,795  

NuVasive, Inc.a

    494,047  
95,966  

Optinose, Inc.a,c

    671,762  
716  

Orthifix Medical, Inc.a

    37,962  
5,597  

PerkinElmer, Inc.

    476,697  
33,170  

Pfizer, Inc.

    1,191,798  
157  

Phibro Animal Health Corporation

    3,349  
216  

Providence Service Corporationa

    12,843  
1,884  

Recordati SPA

    80,803  
9,176  

Repligen Corporationa

    703,707  
6,986  

ResMed, Inc.

    943,878  
930  

Roche Holding AG

    270,783  
5,580  

Sage Therapeutics, Inc.a

    782,818  
3,280  

Sarepta Therapeutics, Inc.a

    247,050  
30,954  

Syneos Health, Inc.a

    1,647,062  
24,622  

Tactile Systems Technology, Inc.a

    1,042,003  
8,294  

Teleflex, Inc.

    2,817,887  
11,969  

Thermo Fisher Scientific, Inc.

    3,486,211  
322  

U.S. Physical Therapy, Inc.

    42,037  
26,053  

UnitedHealth Group, Inc.

    5,661,838  
5,287  

Universal Health Services, Inc.

    786,441  
3,753  

Varian Medical Systems, Inc.a

    446,945  
23,279  

Veeva Systems, Inc.a

    3,554,471  
14,598  

Vertex Pharmaceuticals, Inc.a

    2,473,193  
1,382  

Waters Corporationa

    308,504  
651  

West Pharmaceutical Services, Inc.

    92,325  
176,790  

Wright Medical Group NVa

    3,647,178  
41,009  

Zoetis, Inc.

    5,109,311  
 

 

 
  Total     97,320,073  
 

 

 

Industrials (7.1%)

 
10,680  

A.O. Smith Corporation

    509,543  
255  

Aalberts NV

    10,098  
9,753  

Acco Brands Corporation

    96,262  
736  

ACS Actividades de Construccion y Servicios,
SA

    29,408  
118  

Actuant Corporation

    2,589  
2,591  

Aegion Corporationa

    55,396  
20,075  

Aerojet Rocketdyne Holdings, Inc.a

    1,013,988  
33,106  

AGCO Corporation

    2,506,124  
52,180  

Altra Industrial Motion Corporation

    1,445,125  
22,032  

AMETEK, Inc.

    2,022,978  
33,257  

Arcosa, Inc.

    1,137,722  
40,997  

ASGN, Inc.a

    2,577,071  
4,433  

Atlas Copco AB, Class A

    136,506  
2,388  

Atlas Copco AB, Class B

    64,665  
22,636  

AZZ, Inc.

    986,024  
2,480  

Boeing Company

    943,566  
19,586  

BWX Technologies, Inc.

    1,120,515  
1,134  

Cactus, Inc.a

    32,818  
1,392  

Carlisle Companies, Inc.

    202,592  
29,150  

Casella Waste Systems, Inc.a

    1,251,701  
38,403  

CBIZ, Inc.a

    902,470  
118  

Chase Corporation

    12,908  
481  

CIA De Distribucion Integral

    9,372  
1,188  

Columbus McKinnon Corporation

    43,279  
12,683  

Costamare, Inc.

    76,986  
3,222  

CRA International, Inc.

    135,227  
14,228  

Crane Company

    1,147,204  
9,444  

CSW Industrials, Inc.

    651,919  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

4


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (48.7%)   Value  

 

 

Industrials (7.1%) - continued

 
10,456  

CSX Corporation

    $724,287  
23,695  

Curtiss-Wright Corporation

    3,065,422  
29,450  

Delta Air Lines, Inc.

    1,696,320  
5,826  

Douglas Dynamics, Inc.

    259,665  
24,881  

EMCOR Group, Inc.

    2,142,752  
12,907  

Emerson Electric Company

    862,962  
25,830  

Encore Wire Corporation

    1,453,712  
335  

Ennis, Inc.

    6,770  
1,292  

ESCO Technologies, Inc.

    102,792  
8,809  

Expeditors International of Washington, Inc.

    654,421  
882  

Federal Signal Corporation

    28,877  
9,799  

Forrester Research, Inc.

    314,940  
5  

Geberit AG

    2,389  
12,244  

General Dynamics Corporation

    2,237,346  
4,297  

Gorman-Rupp Company

    149,493  
16,595  

Granite Construction, Inc.

    533,197  
400  

GS Yuasa Corporation

    6,947  
6,312  

GWA Group, Ltd.c

    14,449  
100  

Hanwa Company, Ltd.

    2,746  
23,868  

Healthcare Services Group, Inc.c

    579,754  
4,935  

Heico Corporation

    616,283  
265  

Heidrick & Struggles International, Inc.

    7,235  
487  

Herc Holdings, Inc.a

    22,650  
1,200  

Hino Motors, Ltd.

    9,944  
2,153  

HNI Corporation

    76,432  
40,835  

Honeywell International, Inc.

    6,909,282  
6,204  

Hubbell, Inc.

    815,206  
6,136  

Huntington Ingalls Industries, Inc.

    1,299,543  
1,007  

Huron Consulting Group, Inc.a

    61,769  
1,318  

Hyster-Yale Materials Handling, Inc.

    72,134  
9,795  

ICF International, Inc.

    827,384  
14,454  

IDEX Corporation

    2,368,722  
700  

Inaba Denki Sangyo Company, Ltd.

    30,738  
16,991  

Ingersoll-Rand plc

    2,093,461  
32,973  

Interface, Inc.

    476,130  
20,690  

Johnson Controls International plc

    908,084  
2,574  

Kelly Services, Inc.

    62,342  
5,066  

Kforce, Inc.

    191,672  
1,770  

Koninklijke Philips NV

    81,790  
16,082  

Kratos Defense & Security Solutions, Inc.a

    299,045  
1,784  

Legrand SA

    127,324  
7,755  

Lincoln Electric Holdings, Inc.

    672,824  
8,184  

Lockheed Martin Corporation

    3,192,251  
7,400  

Marubeni Corporation

    49,350  
13,421  

Masonite International Corporationa

    778,418  
271  

Matthews International Corporation

    9,591  
13,458  

Mercury Systems, Inc.a

    1,092,386  
3,200  

Mitsubishi Corporation

    78,793  
500  

Mitsuboshi Belting, Ltd.

    8,232  
7,000  

Mitsui & Company, Ltd.

    114,985  
676  

Mobile Mini, Inc.

    24,917  
70,161  

MRC Global, Inc.a

    851,053  
10,689  

Mueller Industries, Inc.

    306,561  
2,456  

National Express Group plc

    13,076  
1,900  

Nitto Kogyo Corporation

    36,126  
1,000  

Nobina ABb

    6,250  
16,544  

Norfolk Southern Corporation

    2,972,295  
740  

Northgate plc

    3,003  
9,280  

Old Dominion Freight Line, Inc.

    1,577,322  
3,495  

PageGroup plc

    18,840  
9,323  

Parker Hannifin Corporation

    1,683,827  
85,139  

Primoris Services Corporation

    1,669,576  
21,760  

Raven Industries, Inc.

    728,090  
Shares   Common Stock (48.7%)   Value  

 

 

Industrials (7.1%) - continued

 
5,410  

Regal-Beloit Corporation

    $394,119  
6,402  

RELX plc

    152,045  
2,321  

Resources Connection, Inc.

    39,434  
83,400  

Ritchie Brothers Auctioneers, Inc.

    3,327,660  
2,195  

Rockwell Automation, Inc.

    361,736  
6,283  

Roper Industries, Inc.

    2,240,518  
520  

Rush Enterprises, Inc.

    20,062  
16,524  

Saia, Inc.a

    1,548,299  
1,164  

Sandvik AB

    18,121  
1,358  

Schneider Electric SE

    118,747  
3,129  

Signify NVb

    85,993  
9,029  

SiteOne Landscape Supply, Inc.a,c

    668,327  
4,245  

SKF AB

    70,098  
11,000  

Sojitz Corporation

    34,220  
52,139  

Southwest Airlines Company

    2,816,027  
5,631  

SP Plus Corporationa

    208,347  
321  

Spirax-Sarco Engineering plc

    30,926  
8,412  

SPX FLOW, Inc.a

    331,938  
13,097  

Standex International Corporation

    955,295  
6,100  

Sumitomo Corporation

    95,498  
10,100  

Sumitomo Electric Industries, Ltd.

    128,890  
300  

Taikisha, Ltd.

    9,083  
8,237  

Teledyne Technologies, Inc.a

    2,652,232  
842  

Tennant Company

    59,529  
1,576  

Thermon Group Holdings, Inc.a

    36,216  
800  

Toppan Forms Company, Ltd.

    7,599  
544  

Transcontinental, Inc.

    6,356  
1,560  

TransDigm Group, Inc.

    812,245  
16,686  

TriMas Corporationa

    511,426  
931  

TrueBlue, Inc.a

    19,644  
600  

Tsubakimoto Chain Company

    19,312  
2,091  

UniFirst Corporation

    407,996  
9,978  

United Airlines Holdings, Inc.a

    882,155  
7,810  

United Rentals, Inc.a

    973,438  
28,867  

United Technologies Corporation

    3,940,923  
20,688  

Valmont Industries, Inc.

    2,864,047  
301  

Vectrus, Inc.a

    12,236  
26,749  

Verisk Analytics, Inc.

    4,230,087  
1,745  

Viad Corporation

    117,177  
17,825  

Waste Connections, Inc.

    1,639,900  
6,366  

Watsco, Inc.

    1,077,000  
39,731  

Willdan Group, Inc.a

    1,393,763  
173  

Woodward, Inc.

    18,655  
12,668  

Xylem, Inc.

    1,008,626  
400  

Yuasa Trading Company, Ltd.

    11,450  
 

 

 
  Total     103,565,628  
 

 

 

Information Technology (12.0%)

 
6,281  

Accenture plc

    1,208,150  
7,553  

ADTRAN, Inc.

    85,689  
10,163  

Advanced Energy Industries, Inc.a

    583,458  
70,021  

Advanced Micro Devices, Inc.a

    2,029,909  
28,849  

Akamai Technologies, Inc.a

    2,636,222  
6,189  

Alliance Data Systems Corporation

    792,997  
6,197  

Alteryx, Inc.a

    665,744  
210  

Altisource Portfolio Solutions SAa

    4,246  
1,594  

Amadeus IT Holding SA

    114,213  
2,195  

American Software, Inc.

    32,969  
34,116  

Amphenol Corporation

    3,292,194  
5,236  

ANSYS, Inc.a

    1,159,041  
53,619  

Apple, Inc.

    12,009,047  
10,488  

Arista Networks, Inc.a

    2,505,793  
3,356  

Atkore International Group, Inc.a

    101,855  
6,460  

Atlassian Corporation plca

    810,342  
8,138  

Automatic Data Processing, Inc.

    1,313,636  
14,286  

Avalara, Inc.a

    961,305  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

5


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (48.7%)   Value  

 

 

Information Technology (12.0%) - continued

 
328  

Badger Meter, Inc.

    $17,614  
14,157  

Benchmark Electronics, Inc.

    411,402  
35,035  

Blackline, Inc.a

    1,675,023  
7,465  

Booz Allen Hamilton Holding Corporation

    530,164  
766  

Broadridge Financial Solutions, Inc.

    95,313  
367  

CACI International, Inc.a

    84,872  
4,400  

Canon, Inc.

    117,666  
1,344  

Capgemini SA

    158,258  
16,998  

CDK Global, Inc.

    817,434  
5,245  

CDW Corporation

    646,394  
603  

CEVA, Inc.a

    18,006  
3,106  

CGI, Inc.a

    245,601  
76,214  

Ciena Corporationa

    2,989,875  
181,513  

Cisco Systems, Inc.

    8,968,557  
16,171  

Clearwater Energy, Inc.

    280,405  
9,645  

Cognex Corporation

    473,859  
10,485  

Cohu, Inc.

    141,600  
14,465  

Computer Services, Inc.

    658,158  
4,784  

Computershare, Ltd.

    52,298  
3,923  

CoreLogic, Inc.a

    181,517  
19,931  

Coupa Software, Inc.a

    2,582,460  
6,582  

CTS Corporation

    212,994  
19,104  

Descartes Systems Group, Inc.a

    770,082  
40,961  

DocuSign, Inc.a

    2,536,305  
85,889  

Dolby Laboratories, Inc.

    5,551,865  
2,455  

DSP Group, Inc.a

    34,579  
5,528  

Ebix, Inc.c

    232,729  
16,211  

Elastic NVa

    1,334,814  
1,787  

EPAM Systems, Inc.a

    325,806  
3,318  

ePlus, Inc.a

    252,467  
7,670  

Euronet Worldwide, Inc.a

    1,122,121  
2,928  

ExlService Holdings, Inc.a

    196,059  
638  

eXp World Holdings, Inc.a

    5,346  
2,317  

Fair Isaac Corporationa

    703,256  
11,832  

Fiserv, Inc.a

    1,225,677  
22,910  

Five9, Inc.a

    1,231,183  
11,229  

Global Payments, Inc.

    1,785,411  
26,388  

Guidewire Software, Inc.a

    2,780,767  
5,708  

Halma plc

    138,164  
2,317  

InterDigital, Inc.

    121,573  
645  

International Business Machines
Corporation

    93,796  
1,292  

International Money Express, Inc.a

    17,752  
10,270  

Intuit, Inc.

    2,731,204  
5,833  

Keysight Technologies, Inc.a

    567,259  
7,790  

KLA-Tencor Corporation

    1,242,116  
7,057  

Kulicke and Soffa Industries, Inc.

    165,698  
6,418  

Lam Research Corporation

    1,483,264  
60,777  

Lattice Semiconductor Corporationa

    1,111,307  
1,259  

ManTech International Corporation

    89,905  
25,876  

MasterCard, Inc.

    7,027,145  
11,434  

Methode Electronics, Inc.

    384,640  
138,678  

Microsoft Corporation

    19,280,402  
5,574  

MicroStrategy, Inc.a

    827,014  
6,947  

MKS Instruments, Inc.

    641,069  
30,816  

Monolithic Power Systems, Inc.

    4,795,894  
3,800  

MTS Systems Corporation

    209,950  
34,293  

National Instruments Corporation

    1,439,963  
1,000  

NEC Networks & System Integration Corporation

    27,233  
12,223  

New Relic, Inc.a

    751,103  
11,338  

NIC, Inc.

    234,130  
12,043  

Nice, Ltd. ADRa

    1,731,783  
16,969  

Nova Measuring Instruments, Ltd.a

    539,105  
8,779  

Novanta, Inc.a

    717,420  
Shares   Common Stock (48.7%)   Value  

 

 

Information Technology (12.0%) - continued

 
12,276  

NVIDIA Corporation

    $2,136,883  
36,632  

Oracle Corporation

    2,015,859  
6,806  

Palo Alto Networks, Inc.a

    1,387,267  
39,469  

PayPal Holdings, Inc.a

    4,088,594  
2,571  

Plantronics, Inc.

    95,950  
27,948  

Plexus Corporationa

    1,747,030  
2,309  

Progress Software Corporation

    87,881  
17,672  

Proofpoint, Inc.a

    2,280,572  
13,821  

Q2 Holdings, Inc.a

    1,090,062  
5,817  

QAD, Inc.

    268,629  
10,790  

QUALCOMM, Inc.

    823,061  
23,575  

Rambus, Inc.a

    309,422  
23,053  

Rogers Corporationa

    3,151,576  
300  

Ryoyo Electro Corporation

    5,146  
93,523  

SailPoint Technologies Holdings, Inc.a

    1,747,945  
21,192  

Salesforce.com, Inc.a

    3,145,740  
888  

Samsung Electronics Company, Ltd. GDR

    904,766  
3,069  

ScanSource, Inc.a

    93,758  
9,414  

ServiceNow, Inc.a

    2,389,744  
1,900  

Shinko Electric Industries Company, Ltd.

    16,306  
1,423  

Silicon Laboratories, Inc.a

    158,451  
19,410  

Square, Inc.a

    1,202,450  
2,950  

Sykes Enterprises, Inc.a

    90,388  
25,523  

Synopsys, Inc.a

    3,503,032  
16,619  

TE Connectivity, Ltd.

    1,548,558  
15,180  

Teradata Corporationa

    470,580  
15,297  

Teradyne, Inc.

    885,849  
36,037  

Texas Instruments, Inc.

    4,657,422  
11,318  

Tyler Technologies, Inc.a

    2,970,975  
5,455  

VeriSign, Inc.a

    1,028,977  
47,804  

Virtusa Corporationa

    1,721,900  
42,678  

Visa, Inc.

    7,341,043  
7,271  

WEX, Inc.a

    1,469,251  
5,395  

Workday, Inc.a

    916,934  
9,637  

Xilinx, Inc.

    924,188  
 

 

 
  Total     174,799,825  
 

 

 

Materials (1.5%)

 
24,470  

Alcoa Corporationa

    491,113  
548  

Avery Dennison Corporation

    62,236  
7,012  

Balchem Corporation

    695,520  
12,061  

Ball Corporation

    878,161  
4,355  

BHP Group, Ltd.

    107,615  
16,661  

Boise Cascade Company

    542,982  
6,498  

Celanese Corporation

    794,640  
25,220  

CF Industries Holdings, Inc.

    1,240,824  
966  

Continental Building Products, Inc.a

    26,362  
21,410  

Eastman Chemical Company

    1,580,700  
14,045  

Ecolab, Inc.

    2,781,472  
14,834  

Ferro Corporationa

    175,931  
8,150  

Ferroglobe Representation & Warranty Insurance Trusta,d

    1  
2,064  

Granges AB

    21,063  
354  

Hexpol AB

    2,717  
500  

Hokuetsu Corporation

    2,512  
266  

Innophos Holdings, Inc.

    8,634  
7,835  

Innospec, Inc.

    698,412  
2,900  

JSR Corporation

    46,692  
6,107  

Kadant, Inc.

    536,134  
10,049  

Kaiser Aluminum Corporation

    994,550  
861  

Koninklijke DSM NV

    103,649  
4,640  

Kraton Performance Polymers, Inc.a

    149,826  
2,000  

Kyoei Steel, Ltd.

    37,684  
300  

Lintec Corporation

    5,972  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

6


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (48.7%)   Value  

 

 

Materials (1.5%) - continued

 
95,468  

Louisiana-Pacific Corporation

    $2,346,603  
6,827  

Martin Marietta Materials, Inc.

    1,871,281  
5,010  

Materion Corporation

    307,414  
791  

Minerals Technologies, Inc.

    41,994  
1,900  

Mitsubishi Gas Chemical Company, Inc.

    25,555  
5,738  

Myers Industries, Inc.

    101,276  
4,012  

Neenah, Inc.

    261,261  
200  

Nippon Kayaku Company, Ltd.

    2,398  
7,800  

Nippon Steel Corporation

    109,296  
10,290  

Nucor Corporation

    523,864  
28,474  

Nutanix, Inc.a

    747,443  
737  

Olympic Steel, Inc.

    10,613  
841  

PH Glatfelter Company

    12,943  
7,203  

PPG Industries, Inc.

    853,628  
6,448  

Reliance Steel & Aluminum Company

    642,608  
4,138  

Ryerson Holding Corporationa

    35,297  
4,313  

Sandfire Resources NL

    19,118  
100  

Sanyo Special Steel Company, Ltd.

    1,341  
10,774  

Schweitzer-Mauduit International, Inc.

    403,379  
19,924  

Steel Dynamics, Inc.

    593,735  
4,393  

SunCoke Energy, Inc.a

    24,777  
300  

Taiyo Holdings Company, Ltd.

    10,141  
1,400  

Toagosei Company, Ltd.

    15,876  
10,247  

United States Lime & Minerals, Inc.

    783,896  
1,345  

UPM-Kymmene Oyj

    39,716  
511  

W. R. Grace & Company

    34,114  
 

 

 
  Total     21,804,969  
 

 

 

Real Estate (1.9%)

 
455  

Acadia Realty Trust

    13,004  
13,353  

Agree Realty Corporation

    976,772  
4,548  

Alexander & Baldwin, Inc.

    111,471  
5,878  

Alexandria Real Estate Equities, Inc.

    905,447  
662  

Allied Properties REIT

    26,768  
654  

Alstria Office REIT AG

    11,220  
117  

American Assets Trust, Inc.

    5,469  
31,732  

American Campus Communities, Inc.

    1,525,675  
10,683  

American Tower Corporation

    2,362,332  
1,921  

Apartment Investment & Management
Company

    100,161  
31,642  

Apple Hospitality REIT, Inc.

    524,624  
1,653  

Ares Commercial Real Estate Corporation

    25,175  
2,231  

Armada Hoffler Properties, Inc.

    40,359  
5,100  

Ascendas REIT

    11,518  
7,529  

Ashford Hospitality Trust, Inc.

    24,921  
1,737  

BBX Capital Corporation

    8,112  
662  

Bluerock Residential Growth REIT, Inc.

    7,792  
1,249  

Brandywine Realty Trust

    18,922  
13,220  

Brixmor Property Group, Inc.

    268,234  
12,294  

Camden Property Trust

    1,364,757  
473  

CareTrust REIT, Inc.

    11,118  
1,518  

Castellum AB

    32,499  
10,195  

CBL & Associates Properties, Inc.

    13,152  
15,038  

Cedar Realty Trust, Inc.

    45,114  
3,273  

Chatham Lodging Trust

    59,405  
744  

Choice Properties REIT

    8,109  
1,713  

City Office REIT, Inc.

    24,650  
18  

Cofinimmo SA

    2,535  
235  

Columbia Property Trust, Inc.

    4,970  
2,414  

CoreCivic, Inc.

    41,714  
1,442  

Corepoint Lodging, Inc.

    14,579  
11,133  

CoreSite Realty Corporation

    1,356,556  
Shares   Common Stock (48.7%)   Value  

 

 

Real Estate (1.9%) - continued

 
6,177  

Corporate Office Properties Trust

    $183,951  
3,280  

CoStar Group, Inc.a

    1,945,696  
38,738  

Cousins Properties, Inc.

    1,456,161  
2,140  

CubeSmart

    74,686  
1,527  

CyrusOne, Inc.

    120,786  
800  

Daito Trust Construction Company, Ltd.

    102,463  
152  

Deutsche EuroShop AG

    4,287  
1,098  

DiamondRock Hospitality Company

    11,254  
4,700  

Digital Realty Trust, Inc.

    610,107  
6,539  

Douglas Emmett, Inc.

    280,065  
21,495  

Duke Realty Corporation

    730,185  
329  

EastGroup Properties, Inc.

    41,132  
3,332  

Empire State Realty Trust, Inc.

    47,548  
201  

Entra ASAb

    3,152  
1,937  

EPR Properties

    148,878  
1,198  

Equity Commonwealth

    41,031  
159  

Equity Lifestyle Properties, Inc.

    21,242  
167  

Essex Property Trust, Inc.

    54,551  
1,907  

Farmland Partners, Inc.

    12,739  
295  

First Capital Realty, Inc.

    4,914  
3,016  

First Industrial Realty Trust, Inc.

    119,313  
267  

Four Corners Property Trust, Inc.

    7,551  
6,553  

Franklin Street Properties Corporation

    55,438  
3,492  

Gaming and Leisure Properties, Inc.

    133,534  
4,529  

GEO Group, Inc.

    78,533  
1,126  

Getty Realty Corporation

    36,100  
2,710  

Gladstone Commercial Corporation

    63,685  
246  

Global Net Lease, Inc.

    4,797  
6  

GLP J-Reit

    7,957  
1,121  

Granite REIT

    54,279  
378  

H&R REIT

    6,599  
3,526  

Healthcare Realty Trust, Inc.

    118,121  
3,585  

Healthcare Trust of America, Inc.

    105,327  
6,424  

Highwoods Properties, Inc.

    288,695  
60,690  

Host Hotels & Resorts, Inc.

    1,049,330  
138  

Howard Hughes Corporationa

    17,885  
1,934  

Hudson Pacific Properties, Inc.

    64,712  
11,000  

Hysan Development Company, Ltd.

    44,359  
1,359  

Industrial Logistics Properties Trust

    28,879  
471  

Investors Real Estate Trust

    35,170  
2,713  

iSTAR Financial, Inc.

    35,405  
2,097  

JBG SMITH Properties

    82,223  
2,918  

Jones Lang LaSalle, Inc.

    405,777  
6,084  

Kilroy Realty Corporation

    473,883  
1,746  

Kite Realty Group Trust

    28,198  
2,857  

Klepierre SA

    97,025  
2,785  

Lamar Advertising Company

    228,175  
60  

LEG Immobilien AG

    6,866  
1,524  

Lexington Realty Trust

    15,621  
3,549  

Liberty Property Trust

    182,170  
485  

Life Storage, Inc.

    51,124  
145  

LTC Properties, Inc.

    7,427  
901  

Mack-Cali Realty Corporation

    19,516  
4,900  

Mapletree Commercial Trust

    8,123  
3,300  

Mapletree Logistics Trust

    3,868  
5,871  

Medical Properties Trust, Inc.

    114,837  
978  

Merlin Properties Socimi SA

    13,654  
378  

MGM Growth Properties LLC

    11,359  
28,347  

Mirvac Group

    58,561  
2,577  

Monmouth Real Estate Investment
Corporation

    37,135  
385  

National Health Investors, Inc.

    31,720  
2,414  

National Storage Affiliates Trust

    80,555  
1,245  

Office Properties Income Trust

    38,147  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

7


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (48.7%)   Value  

 

 

Real Estate (1.9%) - continued

 
2,447  

Omega Healthcare Investors, Inc.

    $102,260  
1,817  

One Liberty Properties, Inc.

    50,022  
4,200  

Outfront Media, Inc.

    116,676  
2,102  

Paramount Group, Inc.

    28,062  
4,515  

Pebblebrook Hotel Trust

    125,607  
3,834  

Pennsylvania REIT

    21,930  
40,443  

Physicians Realty Trust

    717,863  
848  

Piedmont Office Realty Trust, Inc.

    17,706  
4,511  

PotlatchDeltic Corporation

    185,334  
2,770  

Preferred Apartment Communities, Inc.

    40,026  
164  

PS Business Parks, Inc.

    29,840  
455  

PSP Swiss Property AG

    57,768  
10,835  

QTS Realty Trust, Inc.

    557,027  
999  

Quebecor, Inc.

    22,682  
3,494  

Rayonier, Inc. REIT

    98,531  
1,365  

RE/MAX Holdings, Inc.

    43,898  
7,778  

Realogy Holdings Corporationc

    51,957  
1,107  

Redfin Corporationa,c

    18,642  
519  

Retail Opportunity Investments Corporation

    9,461  
7,461  

Retail Properties of America, Inc.

    91,920  
844  

RioCan REIT

    16,805  
1,758  

RLJ Lodging Trust

    29,868  
246  

RMR Group, Inc.

    11,188  
3,000  

Road King Infrastructure, Ltd.

    5,068  
2,187  

RPT Realty

    29,634  
926  

Ryman Hospitality Properties

    75,756  
11,730  

Sabra Health Care REIT, Inc.

    269,321  
543  

Saul Centers, Inc.

    29,599  
9,417  

SBA Communications Corporation

    2,270,910  
14,622  

Senior Housing Property Trust

    135,327  
881  

Seritage Growth Properties

    37,434  
13,410  

Service Properties Trust

    345,844  
757  

SITE Centers Corporation

    11,438  
3,232  

Spirit Realty Capital, Inc.

    154,684  
3,231  

St. Joe Companya

    55,347  
816  

STAG Industrial, Inc.

    24,056  
2,066  

Store Capital Corporation

    77,289  
5,383  

Summit Hotel Properties, Inc.

    62,443  
2,002  

Sunstone Hotel Investors, Inc.

    27,507  
196  

Swiss Prime Site AG

    19,181  
1,439  

TAG Immobilien AG

    32,839  
1,988  

Tanger Factory Outlet Centers, Inc.

    30,774  
1,204  

Taubman Centers, Inc.

    49,159  
9,913  

Terreno Realty Corporation

    506,455  
1,548  

UMH Properties, Inc.

    21,796  
173  

Universal Health Realty Income Trust

    17,784  
4,219  

Urban Edge Properties

    83,494  
2,119  

Urstadt Biddle Properties, Inc.

    50,220  
4,528  

VICI Properties, Inc.

    102,559  
6,233  

Washington Prime Group, Inc.

    25,805  
382  

Washington REIT

    10,452  
2,697  

Weingarten Realty Investors

    78,564  
909  

Weyerhaeuser Company

    25,179  
8,600  

Wing Tai Holdings, Ltd.

    12,755  

601

  Xenia Hotels & Resorts, Inc.     12,693  
 

 

 
  Total     27,330,034  
 

 

 

Utilities (0.6%)

 
6,492  

AGL Energy, Ltd.

    83,987  
14,800  

Alliant Energy Corporation

    798,164  
2,095  

Artesian Resources Corporation

    77,515  
700  

Chesapeake Utilities Corporation

    66,724  
12,449  

CMS Energy Corporation

    796,114  
1,640  

Consolidated Water Company, Ltd.

    27,044  
Shares   Common Stock (48.7%)   Value  

 

 

Utilities (0.6%) - continued

 
1,490  

Contact Energy, Ltd.

    $7,969  
3,946  

Enagas SA

    91,218  
8,231  

Entergy Corporation

    965,990  
45,948  

Exelon Corporation

    2,219,748  
391  

IDACORP, Inc.

    44,054  
1,017  

Middlesex Water Company

    66,064  
13,441  

New Jersey Resources Corporation

    607,802  
527  

Northland Power, Inc.

    10,112  
9,536  

NorthWestern Corporation

    715,677  
1,291  

Otter Tail Corporation

    69,391  
22,306  

PNM Resources, Inc.

    1,161,696  
10,505  

Public Service Enterprise Group, Inc.

    652,150  
9,410  

Spire, Inc.

    820,928  
1,600  

Unitil Corporation

    101,504  
 

 

 
  Total     9,383,851  
 

 

 
 

 

 
 

Total Common Stock

(cost $569,464,294)

    707,598,200  
 

 

 
Shares   Registered Investment Companies (36.9%)   Value  

 

 

Unaffiliated (1.1%)

 
9,981  

Consumer Discretionary Select Sector SPDR Fund

    1,204,707  
11,947  

iShares Russell 2000 Value Index Fund

    1,426,591  
17,992  

Materials Select Sector SPDR Fundc

    1,047,134  
2,905  

ProShares Ultra S&P 500c

    373,147  
20,723  

SPDR S&P 500 ETF Trust

    6,149,965  
17,675  

SPDR S&P Biotech ETFc

    1,347,719  
23,035  

SPDR S&P Metals & Mining ETF

    586,241  
10,960  

SPDR S&P Retail ETF

    465,033  
52,476  

VanEck Vectors Oil Services ETF

    616,593  
26,208  

Vanguard Real Estate ETF

    2,443,896  
 

 

 
  Total     15,661,026  
 

 

 

Affiliated (35.8%)

 
6,531,466  

Thrivent Core International Equity Fund

    61,461,095  
5,119,867  

Thrivent Core Low Volatility Equity Fund

    62,052,793  
4,131,407  

Thrivent Global Stock Portfolio

    53,153,858  
2,064,308  

Thrivent High Yield Portfolio

    9,774,914  
520,395  

Thrivent Income Portfolio

    5,504,687  
13,468,075  

Thrivent International Allocation Portfolio

    127,628,862  
3,717,543  

Thrivent Large Cap Value Portfolio

    66,154,412  
1,001,346  

Thrivent Limited Maturity Bond Portfolio

    9,937,159  
4,394,573  

Thrivent Mid Cap Stock Portfolio

    80,311,267  
2,577,880  

Thrivent Small Cap Stock Portfolio

    45,824,142  
 

 

 
  Total     521,803,189  
 

 

 
 

 

 
  Total Registered Investment
Companies (cost $502,423,900)
    537,464,215  
 

 

 
Principal
Amount
  Long-Term Fixed Income (4.6%)   Value  

 

 

Collateralized Mortgage Obligations (0.1%)

 
 

Federal Home Loan Mortgage Corporation - REMIC

 

$575,000

 

3.859%, 11/25/2028, Ser. K086, Class A2e,f

    650,119  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

8


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (4.6%)   Value  

 

 

Collateralized Mortgage Obligations (0.1%) - continued

 

 

MASTR Alternative Loans Trust

 

$19,670

 

2.468%, (LIBOR 1M + 0.450%), 12/25/2035, Ser. 2005-6, Class 2A1f

    $6,634  
  Sequoia Mortgage Trust  

62,561

 

3.402%, 9/20/2046, Ser. 2007-1, Class 4A1f

    50,975  
  WaMu Mortgage Pass Through Certificates  

27,535

 

3.811%, 9/25/2036, Ser. 2006-AR10, Class 1A2f

    26,531  

42,657

 

3.909%, 10/25/2036, Ser. 2006-AR12, Class 1A1f

    41,909  
 

 

 
  Total     776,168  
 

 

 

Mortgage-Backed Securities (2.1%)

 
 

Federal National Mortgage Association
Conventional 15-Yr. Pass Through

 

2,200,000

 

2.500%, 10/1/2034g

    2,218,949  

4,075,000

 

3.500%, 10/1/2034g

    4,214,760  

6,717,000

 

3.000%, 10/1/2034g

    6,866,820  
 

Federal National Mortgage Association
Conventional 30-Yr. Pass Through

 

6,200,000

 

3.500%, 10/1/2049g

    6,361,055  

10,623,000

 

3.000%, 10/1/2049g

    10,784,835  
 

 

 
  Total     30,446,419  
 

 

 

U.S. Government & Agencies (2.4%)

 
 

U.S. Treasury Bonds

 

920,000

 

2.250%, 11/15/2027

    962,442  

5,000,000

 

2.875%, 5/15/2028

    5,488,672  

170,000

 

5.250%, 11/15/2028

    221,485  

120,000

 

3.000%, 5/15/2042

    140,419  

2,413,000

 

2.500%, 5/15/2046

    2,600,761  
 

U.S. Treasury Notes

 

360,000

 

1.000%, 10/15/2019

    359,849  

825,000

 

1.500%, 10/31/2019

    824,596  

650,000

 

1.750%, 11/30/2019

    649,668  

665,000

 

1.375%, 9/30/2020

    662,117  

100,000

 

2.500%, 2/28/2021

    101,023  

1,045,000

 

1.125%, 8/31/2021

    1,034,387  

940,000

 

2.000%, 11/30/2022

    951,933  

500,000

 

2.125%, 7/31/2024

    512,891  

2,330,000

 

2.250%, 11/15/2024

    2,406,817  

2,040,000

 

2.125%, 11/30/2024

    2,095,383  

640,000

 

2.625%, 1/31/2026

    678,800  

15,030,000

 

2.500%, 2/28/2026

    15,837,275  
 

 

 
  Total     35,528,518  
 

 

 
 

 

 
 

Total Long-Term Fixed Income

(cost $64,707,422)

    66,751,105  
 

 

 
Shares   Collateral Held for Securities Loaned (0.7%)   Value  

 

 
10,142,988  

Thrivent Cash Management Trust

    10,142,988  
 

 

 
 

Total Collateral Held for Securities Loaned

(cost $10,142,988)

    10,142,988  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (12.0%)   Value  

 

 
 

Federal Home Loan Bank Discount
Notes

 

1,900,000

 

2.010%, 10/7/2019h,i

    $1,899,405  

400,000

 

2.085%, 10/11/2019h,i

    399,791  

2,000,000

 

1.950%, 10/16/2019h,i

    1,998,433  

900,000

 

1.995%, 10/30/2019h,i

    898,637  

2,900,000

 

1.980%, 11/5/2019h,i

    2,894,699  

3,100,000

 

1.941%, 11/12/2019h,i

    3,093,201  

300,000

 

1.970%, 11/19/2019h,i

    299,232  

1,400,000

 

1.910%, 12/5/2019h,i

    1,395,273  

2,400,000

 

1.920%, 12/11/2019h,i

    2,391,149  
 

Thrivent Core Short-Term Reserve Fund

 

15,934,264

 

2.230%

    159,342,641  
 

 

 
  Total Short-Term Investments (cost $174,611,378)     174,612,461  
 

 

 
  Total Investments (cost $1,321,349,982) 102.9%     $1,496,568,969  
 

 

 
  Other Assets and Liabilities, Net (2.9%)     (41,700,483
 

 

 
  Total Net Assets 100.0%     $1,454,868,486  
 

 

 

 

a

Non-income producing security.

b

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $368,522 or 0.0% of total net assets.

c

All or a portion of the security is on loan.

d

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

e

All or a portion of the security is insured or guaranteed.

f

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

g

Denotes investments purchased on a when-issued or delayed delivery basis.

h

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

i

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Aggressive Allocation Portfolio as of September 30, 2019:

 

Securities Lending Transactions     

Common Stock

     $9,817,084  

Total lending

     $9,817,084  

Gross amount payable upon return of collateral for

securities loaned

     $10,142,988  

Net amounts due to counterparty

     $325,904  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

9


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Definitions:      
ADR    -    American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
ETF    -    Exchange Traded Fund
GDR    -    Global Depository Receipts, which are certificates for
      shares of an underlying foreign security’s shares held by an issuing depository bank from more than one country.
REMIC    -    Real Estate Mortgage Investment Conduit
REIT    -    Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Ser.    -    Series
SPDR    -    S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.
Reference Rate Index:
LIBOR 1M    -    ICE Libor USD Rate 1 Month
 

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Aggressive Allocation Portfolio’s assets carried at fair value.

 

Investments in Securities    Total      Level 1      Level 2      Level 3  

Common Stock

           

Communications Services

     34,265,004        33,864,380        400,624         

Consumer Discretionary

     83,002,087        81,953,996        1,048,091         

Consumer Staples

     28,557,497        27,468,340        1,089,157         

Energy

     17,720,205        17,370,751        349,454         

Financials

     109,849,027        107,766,749        2,082,278         

Health Care

     97,320,073        96,137,374        1,182,699         

Industrials

     103,565,628        101,922,259        1,643,369         

Information Technology

     174,799,825        173,020,174        1,779,651         

Materials

     21,804,969        21,253,623        551,345        1  

Real Estate

     27,330,034        26,654,180        675,854         

Utilities

     9,383,851        9,190,565        193,286         

Registered Investment Companies

           

Unaffiliated

     15,661,026        15,661,026                

Affiliated

     398,289,301        398,289,301                

Long-Term Fixed Income

           

Collateralized Mortgage Obligations

     776,168               776,168         

Mortgage-Backed Securities

     30,446,419               30,446,419         

U.S. Government & Agencies

     35,528,518               35,528,518         

Short-Term Investments

     15,269,820               15,269,820         

Subtotal Investments in Securities

     $1,203,569,452        $1,110,552,718        $93,016,733        $1  
Other Investments *    Total                       

Affiliated Registered Investment Companies

     123,513,888     

Affiliated Short-Term Investments

     159,342,641     

Collateral Held for Securities Loaned

     10,142,988     

Subtotal Other Investments

     $292,999,517     
             

Total Investments at Value

     $1,496,568,969     

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments      Total        Level 1        Level 2      Level 3  

Asset Derivatives

                 

Futures Contracts

       3,509,255          3,509,255                  

Total Asset Derivatives

       $3,509,255          $3,509,255          $–        $–  

Liability Derivatives

                 

Futures Contracts

       4,454,260          4,454,260                  

Total Liability Derivatives

       $4,454,260          $4,454,260          $–        $–  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

10


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents Aggressive Allocation Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $15,269,820 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
     Expiration
Date
    

Notional Principal

Amount

    

Value and

Unrealized

 

CBOT 2-Yr. U.S. Treasury Note

     33                  December 2019        $7,127,844            ($16,344 )     

CBOT U.S. Long Bond

     20                  December 2019        3,273,190            (26,940

CME E-mini Russell 2000 Index

     47                  December 2019        3,720,739            (136,989

CME E-mini S&P 500 Index

     1,521                  December 2019        228,542,863            (2,027,938

CME Euro Foreign Exchange Currency

     115                  December 2019        15,908,990            (150,396

CME Ultra Long Term U.S. Treasury Bond

     24                  December 2019        4,624,111            (18,361

Eurex Euro STOXX 50 Index

     412                  December 2019        15,755,669            208,449  

ICE mini MSCI EAFE Index

     661                  December 2019        63,049,265            (307,145

ICE US mini MSCI Emerging Markets Index

     1,493                  December 2019        76,561,982            (1,770,147

Total Futures Long Contracts

                       $418,564,653            ($4,245,811

CBOT 5-Yr. U.S. Treasury Note

     (50)                 December 2019        ($6,002,969)           $45,547  

CME E-mini NASDAQ 100 Index

     (369)                 December 2019        (58,255,708)           909,418  

CME E-mini S&P Mid-Cap 400 Index

     (845)                 December 2019        (166,051,571)           2,290,571  

Ultra 10-Yr. U.S. Treasury Note

     (23)                 December 2019        (3,330,613)           55,270  

Total Futures Short Contracts

                       ($233,640,861)           $3,300,806  

Total Futures Contracts

                       $184,923,792            ($945,005

 

Reference Description:

CBOT

   -   

Chicago Board of Trade

CME

   -   

Chicago Mercantile Exchange

EAFE

   -   

Europe, Australasia and Far East

ICE

   -   

Intercontinental Exchange

MSCI

   -   

Morgan Stanley Capital International

NASDAQ

   -   

National Association of Securities Dealers Automated Quotations

S&P

   -   

Standard & Poor’s

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.    

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Aggressive Allocation Portfolio, is as follows:

 

Portfolio   

Value

12/31/2018

     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
    

Shares Held at

9/30/2019

     % of Net Assets
9/30/2019
 

Affiliated Registered Investment Companies

                 

Core International Equity

     $55,844        $–        $–        $61,461        6,531        4.2%  

Core Low Volatility Equity

     49,967        3               62,053        5,120        4.3  

Global Stock Fund

     46,961        3,888               53,154        4,131        3.7  

High Yield

     8,766        398               9,775        2,064        0.6  

Income

     4,894        135               5,505        520        0.4  

International Allocation

     114,732        4,009               127,629        13,468        8.8  

Large Cap Value

     57,348        3,945               66,154        3,718        4.5  

Limited Maturity Bond

     9,546        193               9,937        1,001        0.7  

Mid Cap Stock

     67,778        7,740               80,311        4,395        5.5  

Small Cap Stock

     39,335        5,530               45,824        2,578        3.1  

Total Affiliated Registered Investment Companies

     455,171                          521,803                 35.8  

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     161,996        180,151        182,804        159,343        15,934        11.0  

Total Affiliated Short-Term Investments

     161,996                          159,343                 11.0  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     9,815        99,953        99,625        10,143        10,143        0.7  

Total Collateral Held for Securities Loaned

     9,815                          10,143                 0.7  

Total Value

     $626,982                          $691,289                    

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

11


AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
    

Distributions of

Realized Capital

Gains

    

Income Earned
1/1/2019

- 9/30/2019

 

Affiliated Registered Investment Companies

           

Core International Equity

     $–        $5,617               $–    

Core Low Volatility Equity

            12,082        3         

Global Stock

            2,304        3,122        766  

High Yield

            610               398  

Income

            476               134  

International Allocation

            8,888        1,064        2,945  

Large Cap Value

            4,861        2,943        1,002  

Limited Maturity Bond

            199               193  

Mid Cap Stock

            4,793        7,253        487  

Small Cap Stock

            959        5,348        182  

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

                          3,284  

Total Income from Affiliated Investments

                                $9,391  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          33  

Total Affiliated Income from Securities Loaned, Net

                                $33  

Total Value

     $–        $40,789        $19,733           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

12


ALL CAP PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (96.2%)   Value  

 

 

Communications Services (7.2%)

 
1,140  

Alphabet, Inc., Class Aa

    $1,392,100  
1,290  

Alphabet, Inc., Class Ca

    1,572,510  
12,490  

Facebook, Inc.a

    2,224,219  
16,170  

Twitter, Inc.a

    666,204  
13,820  

Walt Disney Company

    1,801,022  
14,690  

Zayo Group Holdings, Inc.a

    497,991  
 

 

 
  Total     8,154,046  
 

 

 

Consumer Discretionary (11.5%)

 
1,420  

Amazon.com, Inc.a

    2,464,992  
850  

AutoZone, Inc.a

    921,927  
890  

Booking Holdings, Inc.a

    1,746,723  
4,790  

Burlington Stores, Inc.a

    957,138  
10,720  

Canada Goose Holdings, Inc.a

    471,358  
6,630  

Dollar Tree, Inc.a

    756,881  
8,870  

Las Vegas Sands Corporation

    512,331  
41,880  

MGM Resorts International

    1,160,914  
13,490  

NIKE, Inc.

    1,266,981  
8,480  

Planet Fitness, Inc.a

    490,738  
18,690  

Red Rock Resorts, Inc.

    379,500  
14,740  

Starbucks Corporation

    1,303,311  
15,910  

Toll Brothers, Inc.

    653,105  
 

 

 
  Total     13,085,899  
 

 

 

Consumer Staples (5.4%)

 
3,980  

Casey’s General Stores, Inc.

    641,417  
13,360  

Church & Dwight Company, Inc.

    1,005,207  
4,540  

Costco Wholesale Corporation

    1,308,019  
23,920  

Cott Corporation

    298,282  
14,790  

Molson Coors Brewing Company

    850,425  
19,020  

Philip Morris International, Inc.

    1,444,189  
25,500  

Turning Point Brands, Inc.

    588,030  
 

 

 
  Total     6,135,569  
 

 

 

Energy (4.3%)

 
11,910  

Chevron Corporation

    1,412,526  
6,760  

Diamondback Energy, Inc.

    607,792  
38,080  

Euronav NV

    350,336  
23,590  

Marathon Petroleum Corporation

    1,433,092  
5,680  

Pioneer Natural Resources Company

    714,374  
30,390  

WPX Energy, Inc.a

    321,830  
 

 

 
  Total     4,839,950  
 

 

 

Financials (14.0%)

 
16,210  

Aflac, Inc.

    848,107  
7,090  

American Express Company

    838,605  
14,410  

Arch Capital Group, Ltd.a

    604,932  
17,900  

Assured Guaranty, Ltd.

    795,834  
49,440  

Bank of America Corporation

    1,442,165  
4,330  

Cboe Global Markets, Inc.

    497,560  
20,060  

Citigroup, Inc.

    1,385,745  
16,380  

E*TRADE Financial Corporation

    715,642  
16,080  

Essent Group, Ltd.

    766,534  
14,800  

Hartford Financial Services Group, Inc.

    897,028  
10,170  

IBERIABANK Corporation

    768,242  
14,420  

Intercontinental Exchange, Inc.

    1,330,533  
10,800  

J.P. Morgan Chase & Company

    1,271,052  
450  

Markel Corporationa

    531,855  
9,981  

Prosight Global, Inc.a

    193,232  
4,130  

S&P Global, Inc.

    1,011,767  
74,060  

SLM Corporation

    653,580  
2,410  

SVB Financial Groupa

    503,570  
16,840  

Zions Bancorporations NA

    749,717  
 

 

 
  Total     15,805,700  
 

 

 
Shares   Common Stock (96.2%)   Value  

 

 

Health Care (12.0%)

 
15,700  

Abbott Laboratories

    $1,313,619  
4,710  

Becton, Dickinson and Company

    1,191,441  
11,930  

BioMarin Pharmaceutical, Inc.a

    804,082  
19,530  

Gilead Sciences, Inc.

    1,237,811  
18,740  

GlaxoSmithKline plc ADR

    799,823  
33,170  

Horizon Therapeutics plca

    903,219  
5,790  

Jazz Pharmaceuticals, Inc.a

    741,931  
17,680  

Medtronic plc

    1,920,402  
2,380  

Teleflex, Inc.

    808,605  
8,020  

UnitedHealth Group, Inc.

    1,742,906  
6,460  

Vertex Pharmaceuticals, Inc.a

    1,094,453  
2,220  

Waters Corporationa

    495,571  
26,990  

Wright Medical Group NVa

    556,804  
 

 

 
  Total     13,610,667  
 

 

 

Industrials (11.7%)

 
25,100  

Altra Industrial Motion Corporation

    695,144  
24,090  

Arcosa, Inc.

    824,119  
13,870  

BWX Technologies, Inc.

    793,503  
8,510  

Honeywell International, Inc.

    1,439,892  
3,900  

Huntington Ingalls Industries, Inc.

    825,981  
28,310  

Johnson Controls International plc

    1,242,526  
7,720  

Norfolk Southern Corporation

    1,386,975  
9,650  

Parker Hannifin Corporation

    1,742,886  
19,190  

Ritchie Brothers Auctioneers, Inc.

    765,681  
11,180  

United Technologies Corporation

    1,526,294  
7,060  

Waste Connections, Inc.

    649,520  
13,660  

Willdan Group, Inc.a

    479,193  
10,750  

Xylem, Inc.

    855,915  
 

 

 
  Total     13,227,629  
 

 

 

Information Technology (19.8%)

 
9,270  

Akamai Technologies, Inc.a

    847,093  
3,270  

ANSYS, Inc.a

    723,847  
9,100  

Apple, Inc.

    2,038,127  
5,320  

Autodesk, Inc.a

    785,764  
6,310  

Blackline, Inc.a

    301,681  
12,400  

Ciena Corporationa

    486,452  
33,580  

Cisco Systems, Inc.

    1,659,188  
8,890  

Dolby Laboratories, Inc.

    574,650  
3,220  

F5 Networks, Inc.a

    452,152  
14,180  

Five9, Inc.a

    762,033  
28,860  

Juniper Networks, Inc.

    714,285  
41,370  

Lattice Semiconductor Corporationa

    756,450  
5,290  

MasterCard, Inc.

    1,436,605  
23,610  

Microsoft Corporation

    3,282,498  
6,970  

New Relic, Inc.a

    428,307  
220,910  

Nokia Oyj ADR

    1,117,805  
15,400  

PayPal Holdings, Inc.a

    1,595,286  
7,380  

Salesforce.com, Inc.a

    1,095,487  
10,150  

Visa, Inc.

    1,745,902  
12,420  

Xilinx, Inc.

    1,191,078  
27,160  

Zuora, Inc.a

    408,758  
 

 

 
  Total     22,403,448  
 

 

 

Materials (4.1%)

 
4,240  

Balchem Corporation

    420,565  
5,210  

Ball Corporation

    379,340  
24,110  

CF Industries Holdings, Inc.

    1,186,212  
15,490  

Eastman Chemical Company

    1,143,627  
3,370  

FMC Corporation

    295,482  
34,840  

Louisiana-Pacific Corporation

    856,367  
4,360  

Neenah, Inc.

    283,923  
1,760  

United States Lime & Minerals, Inc.

    134,640  
 

 

 
  Total     4,700,156  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

13


ALL CAP PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (96.2%)   Value  

 

 

Real Estate (4.3%)

 
4,430  

Alexandria Real Estate Equities, Inc.

    $682,397  
1,530  

AvalonBay Communities, Inc.

    329,455  
5,900  

Camden Property Trust

    654,959  
10,615  

Cousins Properties, Inc.

    399,018  
2,360  

Crown Castle International
Corporation

    328,064  
19,750  

Duke Realty Corporation

    670,907  
730  

Equinix, Inc.

    421,064  
21,090  

Physicians Realty Trust

    374,347  
4,390  

Prologis, Inc.

    374,116  
8,630  

QTS Realty Trust, Inc.

    443,668  
1,530  

Simon Property Group, Inc.

    238,145  
 

 

 
  Total     4,916,140  
 

 

 

Utilities (1.9%)

 
8,230  

NorthWestern Corporation

    617,661  
11,460  

PNM Resources, Inc.

    596,837  
33,000  

Vistra Energy Corporation

    882,090  
 

 

 
  Total     2,096,588  
 

 

 
   
 

 

 
 

Total Common Stock

(cost $103,691,719)

    108,975,792  
 

 

 
    Registered Investment Companies      
Shares   (1.9%)   Value  

 

 

Unaffiliated (1.9%)

 
7,740  

SPDR S&P Homebuilders ETF

    341,180  
28,930  

Utilities Select Sector SPDR Fund

    1,872,928  
 

 

 
  Total     2,214,108  
 

 

 
   
 

 

 
  Total Registered Investment Companies (cost $2,000,618)     2,214,108  
 

 

 
Shares   Short-Term Investments (1.9%)   Value  

 

 
 

Thrivent Core Short-Term Reserve
Fund

 
216,760  

        2.230%

    2,167,603  
 

 

 
  Total Short-Term Investments (cost $2,167,603)     2,167,603  
 

 

 
  Total Investments (cost $107,859,940) 100.0%     $113,357,503  
 

 

 
  Other Assets and Liabilities, Net (<0.1%)     (47,788
 

 

 
  Total Net Assets 100.0%     $113,309,715  
 

 

 

 

a

Non-income producing security.

 

Definitions:  
ADR   -   American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
ETF   -   Exchange Traded Fund
SPDR   -   S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

14


ALL CAP PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing All Cap Portfolio’s assets carried at fair value.

 

Investments in Securities    Total      Level 1      Level 2      Level 3  

Common Stock

           

Communications Services

     8,154,046        8,154,046                            –                            –  

Consumer Discretionary

     13,085,899        13,085,899                

Consumer Staples

     6,135,569        6,135,569                

Energy

     4,839,950        4,839,950                

Financials

     15,805,700        15,805,700                

Health Care

     13,610,667        13,610,667                

Industrials

     13,227,629        13,227,629                

Information Technology

     22,403,448        22,403,448                

Materials

     4,700,156        4,700,156                

Real Estate

     4,916,140        4,916,140                

Utilities

     2,096,588        2,096,588                

Registered Investment Companies

           

Unaffiliated

     2,214,108        2,214,108                

Subtotal Investments in Securities

     $111,189,900        $111,189,900        $–        $–  

Other Investments *

     Total     

Affiliated Short-Term Investments

     2,167,603  

Subtotal Other Investments

     $2,167,603  
          

Total Investments at Value

     $113,357,503  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in All Cap Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

 

 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $1,495        $9,903        $9,230        $2,168        217        1.9%  

 

 

Total Affiliated Short-Term Investments

     1,495              2,168           1.9  

 

 

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     1,355        5,572        6,927                       

 

 

Total Collateral Held for Securities Loaned

     1,355                         

 

 

Total Value

     $2,850              $2,168        

 

 

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
    

Income Earned
1/1/2019

- 9/30/2019

 

 

 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $33      

 

 

Total Income from Affiliated Investments

              $33      

 

 

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          0      

 

 

Total Affiliated Income from Securities Loaned, Net

              $0      

 

 

Total Value

     $–        $–        $–     

 

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

15


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (15.6%)a   Value    

 

 

Basic Materials (0.4%)

 
 

Ball Metalpack Finco, LLC, Term Loan

 

$207,375

 

6.624%, (LIBOR 3M + 4.500%), 7/31/2025b

    $194,414  
 

Big River Steel, LLC, Term Loan

 

416,500

 

7.104%, (LIBOR 3M + 5.000%), 8/23/2023b,c

    412,335  
 

Hexion, Inc., Term Loan

 

210,000

 

5.820%, (LIBOR 3M + 3.500%), 7/1/2026b

    209,212  
 

Momentive Performance Materials USA, LLC, Term Loan

 

336,158

 

5.300%, (LIBOR 1M + 3.250%), 5/15/2024b

    333,636  
 

Pixelle Specialty Solutions, LLC, Term Loan

 

535,950

 

8.044%, (LIBOR 1M + 6.000%), 10/31/2024b

    528,581  
 

Starfruit US Holdco, LLC, Term Loan

 

233,825

 

5.292%, (LIBOR 1M + 3.250%), 10/1/2025b,d,e

    228,681  
 

 

 
  Total     1,906,859  
 

 

 

Capital Goods (1.2%)

 
 

Advanced Disposal Services, Inc., Term Loan

 

366,687

 

4.197%, (LIBOR 1W + 2.250%), 11/10/2023b

    367,651  
 

BWAY Holding Company, Term Loan

 

433,890

 

5.590%, (LIBOR 3M + 3.250%), 4/3/2024b,d,e

    424,371  
 

Flex Acquisition Company, Inc. Term Loan

 

313,126

 

5.569%, (LIBOR 3M + 3.250%), 6/29/2025b

    301,089  
 

GFL Environmental, Inc., Term Loan

 

1,073,495

 

5.044%, (LIBOR 1M + 3.000%), 5/31/2025b

    1,063,909  
 

Natgasoline, LLC, Term Loan

 

431,737

 

5.813%, (LIBOR 3M + 3.500%), 11/14/2025b,c

    430,658  
 

Navistar, Inc., Term Loan

 

763,375

 

5.530%, (LIBOR 1M + 3.500%), 11/6/2024b

    758,841  
 

TransDigm, Inc., Term Loan

 

537,273

 

4.544%, (LIBOR 1M + 2.500%), 6/9/2023b

    535,500  
 

Vertiv Group Corporation, Term Loan

 

1,123,174

 

6.044%, (LIBOR 1M + 4.000%), 11/15/2023b

    1,067,015  
 

 

 
  Total     4,949,034  
 

 

 

Communications Services (3.9%)

 
 

Altice France SA, Term Loan

 

342,125

 

4.794%, (LIBOR 1M + 2.750%), 7/31/2025b

    333,250  
 

CenturyLink, Inc., Term Loan

 

1,727,305

 

4.794%, (LIBOR 1M + 2.750%), 1/31/2025b

    1,714,834  
 

Charter Communications Operating, LLC, Term Loan

 

373,350

 

4.050%, (LIBOR 1M + 2.000%), 4/30/2025b

    375,403  

 

Principal
Amount
  Bank Loans (15.6%)a   Value    

 

 

Communications Services (3.9%) - continued

 
 

CommScope Inc., Term Loan

 

$915,000

 

5.294%, (LIBOR 1M + 3.250%), 4/4/2026b

    $910,919  
 

CSC Holdings, LLC, Term Loan

 

630,487

 

4.278%, (LIBOR 1M + 2.250%), 7/17/2025b

    629,472  

1,077,300

 

5.028%, (LIBOR 1M + 3.000%), 4/15/2027b

    1,077,300  

220,000

 

0.000%, (LIBOR 1M + 2.500%), 4/27/2029b,d,e

    220,000  

1,120,000

 

0.000%, (LIBOR 1M + 2.500%), 4/27/2029b,d,e

    1,121,400  
 

Diamond Sports Group, LLC, Term Loan

 

900,000

 

5.300%, (LIBOR 1M + 3.250%), 8/24/2026b

    904,500  
 

Entercom Media Corporation, Term Loan

 

534,269

 

4.804%, (LIBOR 1M + 2.750%), 11/17/2024b

    534,403  
 

Frontier Communications Corporation, Term Loan

 

891,072

 

5.800%, (LIBOR 1M + 3.750%), 6/15/2024b

    888,211  
 

HCP Acquisition, LLC, Term Loan

 

691,857

 

5.044%, (LIBOR 1M + 3.000%), 5/16/2024b

    690,646  
 

Intelsat Jackson Holdings SA, Term Loan

 

490,000

 

5.804%, (LIBOR 1M + 3.750%), 11/27/2023b

    491,073  
 

Liberty Cablevision of Puerto Rico, LLC, Term Loan

 

965,000

 

5.528%, (LIBOR 1M + 3.500%), 1/7/2022b,c

    961,381  

152,838

 

8.778%, (LIBOR 1M + 6.750%), 7/7/2023b,c

    150,545  
 

Mediacom Illinois, LLC, Term Loan

 

339,825

 

3.680%, (LIBOR 1W + 1.750%), 2/15/2024b

    340,250  
 

NEP Group, Inc., Term Loan

 

714,600

 

5.294%, (LIBOR 1M + 3.250%), 10/20/2025b

    700,158  
 

Sprint Communications, Inc., Term Loan

 

1,413,750

 

4.563%, (LIBOR 1M + 2.500%), 2/3/2024b

    1,402,709  

550,838

 

5.063%, (LIBOR 1M + 3.000%), 2/3/2024b

    548,943  
 

TNS, Inc., Term Loan

 

288,352

 

6.260%, (LIBOR 3M + 4.000%), 8/14/2022b

    284,099  
 

Virgin Media Bristol, LLC, Term Loan

 

960,000

 

4.528%, (LIBOR 1M + 2.500%), 1/15/2026b

    960,000  
 

WideOpenWest Finance, LLC, Term Loan

 

590,940

 

5.294%, (LIBOR 1M + 3.250%), 8/19/2023b

    569,519  
 

Windstream Services, LLC, Term Loan

 

390,000

 

4.550%, (LIBOR 1M + 2.500%), 2/26/2021b

    390,000  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

16


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (15.6%)a   Value

 

 

Communications Services (3.9%) - continued

 

$203,439

 

10.000%, (PRIME + 5.000%), 3/30/2021b,f

    $206,194  
 

 

 
  Total     16,405,209  
 

 

 

Consumer Cyclical (2.5%)

 
 

1011778 B.C., ULC, Term Loan

 

1,318,940

 

4.294%, (LIBOR 1M + 2.250%), 2/17/2024b

    1,322,897  
 

Boyd Gaming Corporation, Term Loan

 

271,976

 

4.166%, (LIBOR 1W + 2.250%), 9/15/2023b

    272,626  
 

Cengage Learning, Inc., Term Loan

 

923,936

 

6.294%, (LIBOR 1M + 4.250%), 6/7/2023b

    872,353  
 

Eldorado Resorts, Inc., Term Loan

 

201,812

 

4.313%, (LIBOR 1M + 2.250%), 4/17/2024b

    201,392  
 

Four Seasons Hotels, Ltd., Term Loan

 

564,836

 

4.044%, (LIBOR 1M + 2.000%), 11/30/2023b

    567,270  
 

Golden Entertainment, Inc., Term Loan

 

1,032,550

 

5.060%, (LIBOR 1M + 3.000%), 10/20/2024b,c

    1,035,132  
 

Golden Nugget, LLC, Term Loan

 

799,764

 

4.800%, (LIBOR 1M + 2.750%), 10/4/2023b,d,e

    798,348  
 

IAA, Inc., Term Loan

 

221,625

 

4.313%, (LIBOR 1M + 2.250%), 6/28/2026b

    222,456  
 

Mohegan Gaming and Entertainment, Term Loan

 

900,273

 

6.044%, (LIBOR 1M + 4.000%), 10/13/2023b

    831,879  
 

Scientific Games International, Inc., Term Loan

 

1,824,111

 

4.876%, (LIBOR 1M + 2.750%), 8/14/2024b

    1,807,019  
 

Staples, Inc., Term Loan

 

244,387

 

6.623%, (LIBOR 3M + 4.500%), 9/12/2024b

    241,130  

738,150

 

7.123%, (LIBOR 3M + 5.000%), 4/12/2026b

    727,233  
 

Stars Group Holdings BV, Term Loan

 

911,838

 

5.604%, (LIBOR 3M + 3.500%), 7/10/2025b

    915,257  
 

Tenneco, Inc., Term Loan

 

645,125

 

5.044%, (LIBOR 1M + 3.000%), 10/1/2025b

    604,805  
 

 

 
  Total     10,419,797  
 

 

 

Consumer Non-Cyclical (2.9%)

 
 

Air Medical Group Holdings, Inc., Term Loan

 

1,773,412

 

5.307%, (LIBOR 1M + 3.250%), 4/28/2022b

    1,656,296  
 

Albertson’s LLC, Term Loan

 

1,335,000

 

4.794%, (LIBOR 1M + 2.750%), 8/17/2026b,d,e

    1,342,863  
 

Amneal Pharmaceuticals, LLC, Term Loan

 

631,852

 

5.563%, (LIBOR 1M + 3.500%), 5/4/2025b

    537,074  

 

Principal
Amount
  Bank Loans (15.6%)a   Value

 

 

Consumer Non-Cyclical (2.9%) - continued

 
 

Bausch Health Companies, Inc., Term Loan

 

$1,046,490

 

5.039%, (LIBOR 1M + 3.000%), 6/1/2025b

    $1,050,310  
 

Chobani, LLC, Term Loan

 

537,240

 

5.544%, (LIBOR 1M + 3.500%), 10/7/2023b

    532,206  
 

Endo International plc, Term Loan

 

1,431,344

 

6.313%, (LIBOR 1M + 4.250%), 4/27/2024b

    1,300,290  
 

Energizer Holdings, Inc., Term Loan

 

314,400

 

4.375%, (LIBOR 1M + 2.250%), 1/2/2026b

    314,205  
 

Grifols Worldwide Operations USA, Inc., Term Loan

 

589,875

 

4.197%, (LIBOR 1W + 2.250%), 1/31/2025b

    592,712  
 

JBS USA LUX SA, Term Loan

 

606,950

 

4.544%, (LIBOR 1M + 2.500%), 5/1/2026b

    609,481  
 

Libbey Glass, Inc., Term Loan

 

295,524

 

5.042%, (LIBOR 1M + 3.000%), 4/9/2021b

    230,695  
 

Mallinckrodt International Finance SA, Term Loan

 

716,364

 

5.175%, (LIBOR 3M + 3.000%), 2/24/2025b

    533,333  
 

McGraw-Hill Global Education Holdings, LLC, Term Loan

 

702,429

 

6.044%, (LIBOR 1M + 4.000%), 5/4/2022b

    659,146  
 

MPH Acquisition Holdings, LLC, Term Loan

 

1,335,000

 

4.854%, (LIBOR 3M + 2.750%), 6/7/2023b

    1,269,639  
 

Ortho-Clinical Diagnostics SA, Term Loan

 

1,256,150

 

5.563%, (LIBOR 3M + 3.250%), 6/1/2025b

    1,213,127  
 

Plantronics, Inc., Term Loan

 

584,650

 

4.544%, (LIBOR 1M + 2.500%), 7/2/2025b

    582,942  
 

R.R. Donnelly & Sons Company, Term Loan

 

99,749

 

7.044%, (LIBOR 3M + 5.000%), 1/15/2024b

    99,998  
 

 

 
  Total     12,524,317  
 

 

 

Energy (1.1%)

 
 

BCP Raptor II, LLC, Term Loan

 

403,988

 

6.794%, (LIBOR 1M + 4.750%), 12/19/2025b

    361,904  
 

Calpine Corporation, Term Loan

 

597,519

 

4.610%, (LIBOR 3M + 2.500%), 1/15/2024b

    598,666  
 

CONSOL Energy, Inc., Term Loan

 

432,825

 

6.550%, (LIBOR 1M + 4.500%), 9/28/2024b

    428,497  
 

Consolidated Energy Finance SA, Term Loan

 

395,000

 

4.547%, (LIBOR 3M + 2.500%), 5/7/2025b,c

    382,163  
 

Fieldwood Energy, LLC, Term Loan

 

435,000

 

7.506%, (LIBOR 3M + 5.250%), 4/11/2022b

    376,031  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

17


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (15.6%)a   Value

Energy (1.1%) - continued

 
 

HFOTCO, LLC, Term Loan

 

$962,812

 

4.800%, (LIBOR 1M + 2.750%), 6/26/2025b

    $959,809  
 

Radiate Holdco, LLC, Term Loan

 

1,552,141

 

5.044%, (LIBOR 1M + 3.000%), 2/1/2024b

    1,545,079  
 

 

 
  Total     4,652,149  
 

 

 

Financials (2.3%)

 
 

Avolon TLB Borrower 1 US, LLC, Term Loan

 

736,822

 

3.794%, (LIBOR 1M + 1.750%), 1/15/2025b

    739,091  
 

Cyxtera DC Holdings, Inc., Term Loan

 

190,612

 

5.040%, (LIBOR 1M + 3.000%), 5/1/2024b

    171,279  

105,000

 

9.300%, (LIBOR 1M + 7.250%), 5/1/2025b

    85,488  
 

Digicel International Finance, Ltd., Term Loan

 

948,074

 

5.340%, (LIBOR 3M + 3.250%), 5/27/2024b

    819,297  
 

Genworth Holdings, Inc., Term Loan

 

172,375

 

6.670%, (LIBOR 2M + 4.500%), 3/7/2023b,c

    172,806  
 

GGP Nimbus, LLC, Term Loan

 

1,044,450

 

4.544%, (LIBOR 1M + 2.500%), 8/24/2025b

    1,029,441  
 

Grizzly Finco, Term Loan

 

712,800

 

5.569%, (LIBOR 3M + 3.250%), 10/1/2025b

    706,413  
 

Harland Clarke Holdings Corporation, Term Loan

 

816,801

 

6.854%, (LIBOR 3M + 4.750%), 11/3/2023b

    635,063  
 

Level 3 Parent, LLC, Term Loan

 

1,275,000

 

4.294%, (LIBOR 1M + 2.250%), 2/22/2024b

    1,276,861  
 

MoneyGram International, Inc., Term Loan

 

404,287

 

8.044%, (LIBOR 1M + 6.000%), 6/30/2023b,c

    380,030  
 

NCR Corporation, Delayed Draw

 

328,000

 

0.000%, (LIBOR 3M + 2.500%), 8/28/2026b,d,e

    328,410  
 

NCR Corporation, Term Loan

 

287,000

 

0.000%, (LIBOR 3M + 2.500%), 8/28/2026b,d,e

    287,359  
 

Sable International Finance, Ltd., Term Loan

 

1,491,307

 

5.294%, (LIBOR 2M + 3.250%), 1/31/2026b

    1,496,482  
 

Trans Union, LLC, Term Loan

 

526,568

 

4.044%, (LIBOR 1M + 2.000%), 4/9/2023b

    528,032  
 

Tronox Finance, LLC, Term Loan

 

1,307,080

 

4.817%, (LIBOR 1M + 2.750%), 9/22/2024b

    1,305,916  
 

 

 
  Total     9,961,968  
 

 

 

Technology (1.0%)

 
 

Clear Channel Outdoor Holdings, Inc., Term Loan

 

1,120,000

 

5.544%, (LIBOR 1M + 3.500%), 8/23/2026b

    1,122,397  
Principal
Amount
  Bank Loans (15.6%)a   Value

Technology (1.0%) - continued

 
 

Prime Security Services Borrower, LLC, Term Loan

 

$1,150,000

 

0.000%, (LIBOR 1M + 3.250%), 9/23/2026b,d,e

    $1,137,246  
 

Rackspace Hosting, Inc., Term Loan

 

1,500,856

 

5.287%, (LIBOR 3M + 3.000%), 11/3/2023b

    1,374,919  
 

SS&C Technologies Holdings Europe SARL, Term Loan

 

198,099

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    198,594  
 

SS&C Technologies, Inc., Term Loan

 

299,911

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    300,661  
 

 

 
 

Total

    4,133,817  
 

 

 

Utilities (0.3%)

 
 

Core and Main, LP, Term Loan

 

486,337

 

4.863%, (LIBOR 1M + 2.750%), 8/1/2024b

    481,781  
 

EnergySolutions, LLC, Term Loan

 

345,625

 

5.854%, (LIBOR 3M + 3.750%), 5/11/2025b

    320,567  
 

Talen Energy Supply, LLC, Term Loan

 

290,000

 

5.792%, (LIBOR 1M + 3.750%), 7/8/2026b

    289,275  
 

TerraForm Power Operating, LLC, Term Loan

 

315,188

 

4.044%, (LIBOR 1M + 2.000%), 11/8/2022b,c

    315,582  
 

 

 
 

Total

    1,407,205  
 

 

 
   
 

 

 
 

Total Bank Loans

(cost $67,657,924)

    66,360,355  
 

 

 
Shares   Common Stock (46.7%)   Value

Communications Services (2.5%)

 

4,966

 

Activision Blizzard, Inc.

    262,801  

1,712

 

Alphabet, Inc., Class Ag

    2,090,592  

908

 

Alphabet, Inc., Class Cg

    1,106,852  

81,377

 

Auto Trader Group plch

    510,041  

4,940

 

CBS Corporation

    199,428  

24,690

 

Comcast Corporation

    1,113,025  

12,040

 

DISH Network Corporationg

    410,203  

5,611

 

Facebook, Inc.g

    999,207  

42,000

 

HKT Trust and HKT, Ltd.

    66,625  

1,462

 

Ipsos SA

    41,647  

6,300

 

KDDI Corporation

    164,384  

41,714

 

Mediaset Espana Comunicacion SAi

    268,883  

3,458

 

Rightmove plc

    23,398  

19,505

 

Seven West Media, Ltd.g

    5,139  

19,648

 

Telenor ASA

    394,215  

65,975

 

Telstra Corporation, Ltd.

    156,391  

14,400

 

TV Asahi Holdings Corporation

    227,324  

13,024

 

Twitter, Inc.g

    536,589  

26,920

 

Verizon Communications, Inc.

    1,624,891  

3,253

 

Wolters Kluwer NV

    237,356  

8,025

 

Zillow Group, Inc.g

    237,099  
 

 

 
 

Total

    10,676,090  
 

 

 

Consumer Discretionary (4.3%)

 

1,740

 

Alibaba Group Holding, Ltd. ADRg

    290,980  

1,536

 

Amazon.com, Inc.g

    2,666,358  

1,900

 

AOKI Holdings, Inc.

    18,324  

3,000

 

Aoyama Trading Company, Ltd.

    52,360  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

18


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (46.7%)   Value

 

 

Consumer Discretionary (4.3%) - continued

 

4,062

 

Aptiv plc

    $355,100  

2,100

 

Autobacs Seven Company, Ltd.

    34,439  

24,079

 

Barratt Developments plc

    191,683  

4,600

 

Benesse Holdings, Inc.

    119,831  

8,426

 

Berkeley Group Holdings plc

    432,626  

331

 

Booking Holdings, Inc.g

    649,624  

2,934

 

Bright Horizons Family Solutions, Inc.g

    447,435  

1,186

 

Century Casinos, Inc.g

    9,168  

3,404

 

Children’s Place, Inc.i

    262,074  

2,400

 

Chiyoda Company, Ltd.

    37,699  

2,376

 

Cie Generale des Etablissements Michelin

    264,552  

47,000

 

Citizen Watch Company, Ltd.

    230,581  

1,459

 

Compass Group plc

    37,544  

4,737

 

Countryside Properties plch

    19,554  

6,868

 

Crocs, Inc.g

    190,656  

5,171

 

D.R. Horton, Inc.

    272,563  

13,400

 

Denso Corporation

    592,111  

1,009

 

Emerald Expositions Events, Inc.

    9,818  

8,359

 

Etsy, Inc.g

    472,283  

900

 

Exedy Corporation

    17,647  

3,490

 

G-III Apparel Group, Ltd.g

    89,937  

8,558

 

Harley-Davidson, Inc.

    307,831  

6,866

 

Home Depot, Inc.

    1,593,049  

9,740

 

Lowe’s Companies, Inc.

    1,071,010  

2,350

 

Lululemon Athletica, Inc.g

    452,445  

800

 

McDonald’s Corporation

    171,768  

1,350

 

Mohawk Industries, Inc.g

    167,494  

42,469

 

Moneysupermarket.com Group plc

    197,502  

4,371

 

Movado Group, Inc.

    108,663  

1,233

 

Netflix, Inc.g

    329,975  

14,600

 

NHK Spring Company, Ltd.

    112,002  

6,526

 

NIKE, Inc.

    612,922  

114,000

 

Nissan Motor Company, Ltd.

    711,743  

5,975

 

Norwegian Cruise Line Holdings, Ltd.g

    309,326  

2,100

 

Onward Holdings Company, Ltd.

    10,941  

2,447

 

Oxford Industries, Inc.

    175,450  

8,400

 

Park24 Company, Ltd.

    195,141  

2,928

 

Playa Hotels and Resorts NVg

    22,926  

1,600

 

Plenus Company, Ltd.

    26,880  

13,180

 

Red Rock Resorts, Inc.

    267,620  

21,141

 

Redrow plc

    160,554  

2,950

 

RHg,i

    503,949  

1,500

 

Rinnai Corporation

    101,074  

4,200

 

Sangetsu Company, Ltd.

    79,340  

26,600

 

Sekisui House, Ltd.

    524,876  

1,100

 

SHIMAMURA Company, Ltd.

    87,392  

3,390

 

Sony Corporation ADR

    200,451  

3,150

 

Starbucks Corporation

    278,523  

1,000

 

Sumitomo Forestry Company, Ltd.

    13,352  

37,400

 

Sumitomo Rubber Industries, Ltd.

    445,358  

7,535

 

Super Retail Group, Ltd.

    50,457  

800

 

Takara Standard Company, Ltd.

    13,244  

81,076

 

Taylor Wimpey plc

    160,929  

11,563

 

Toll Brothers, Inc.

    474,661  

17,900

 

Toyoda Gosei Company, Ltd.

    360,352  

1,700

 

United Arrows, Ltd.

    49,772  

2,842

 

WH Smith plc

    69,444  

13,000

 

Yahoo Japan Corporation

    36,626  

4,582

 

Zumiez, Inc.g

    145,135  
  Total     18,365,124  

Consumer Staples (3.3%)

 

2,500

 

Arcs Company, Ltd.

    52,566  
Shares   Common Stock (46.7%)   Value

 

 

Consumer Staples (3.3%) - continued

 

5,356

 

Bunge, Ltd.

    $303,257  

3,329

 

Carlsberg AS

    491,953  

1,449

 

Casey’s General Stores, Inc.

    233,521  

12,003

 

Coca-Cola Company

    653,443  

12,412

 

Colgate-Palmolive Company

    912,406  

780

 

Costco Wholesale Corporation

    224,726  

24,397

 

Cott Corporation

    304,231  

3,555

 

ForFarmers BV

    22,394  

799

 

Glanbia plc

    9,928  

25,889

 

Hain Celestial Group, Inc.g,i

    555,966  

58,000

 

Japan Tobacco, Inc.

    1,270,759  

2,564

 

John B. Sanfilippo & Son, Inc.

    247,682  

2,190

 

Kimberly-Clark Corporation

    311,089  

446

 

L’Oreal SA

    124,733  

800

 

Ministop Company, Ltd.

    10,309  

4,228

 

Monster Beverage Corporationg

    245,478  

6,734

 

Nestle SA

    730,333  

7,383

 

PepsiCo, Inc.

    1,012,209  

6,300

 

Philip Morris International, Inc.

    478,359  

8,032

 

Procter & Gamble Company

    999,020  

7,300

 

Sugi Holdings Company, Ltd.

    396,174  

15,100

 

Sundrug Company, Ltd.

    476,456  

30,271

 

SunOpta, Inc.g

    54,488  

6,325

 

TreeHouse Foods, Inc.g

    350,721  

1,200

 

TSURUHA Holdings, Inc.

    131,044  

7,703

 

Turning Point Brands, Inc.

    177,631  

12,763

 

Unilever NV

    766,388  

20,891

 

Unilever plc

    1,255,584  

10,779

 

Wal-Mart Stores, Inc.

    1,279,252  
  Total     14,082,100  

Energy (2.0%)

 

13,000

 

BP plc ADRi

    493,870  

10,480

 

Chevron Corporation

    1,242,928  

6,067

 

Contura Energy, Inc.g

    169,633  

2,800

 

Diamondback Energy, Inc.

    251,748  

18,650

 

Enbridge, Inc.

    654,242  

30,476

 

Enterprise Products Partners, LP

    871,004  

16,025

 

EQT Corporation

    170,506  

37,776

 

Euronav NV

    347,539  

420

 

Exxon Mobil Corporation

    29,656  

571

 

Gaztransport Et Technigaz SA

    56,494  

11,208

 

Halliburton Company

    211,271  

34,170

 

Marathon Oil Corporation

    419,266  

9,677

 

Marathon Petroleum Corporation

    587,878  

9,096

 

Nine Energy Service, Inc.g

    56,122  

19,091

 

Pacific Drilling SAg,i

    74,646  

29,850

 

Patterson-UTI Energy, Inc.

    255,218  

3,047

 

Pioneer Natural Resources Company

    383,221  

25,327

 

Royal Dutch Shell plc, Class A

    742,785  

34,972

 

Royal Dutch Shell plc, Class B

    1,033,608  

5,030

 

Talos Energy, Inc.g

    102,260  

24,598

 

WPX Energy, Inc.g

    260,493  
  Total     8,414,388  

Financials (8.2%)

 

4,290

 

AB Industrivarden

    93,848  

8,940

 

Aflac, Inc.

    467,741  

4,392

 

Allianz SE

    1,022,338  

17,100

 

Ally Financial, Inc.

    567,036  

1,319

 

American Express Company

    156,011  

5,662

 

American Financial Group, Inc.

    610,647  

5,430

 

American International Group, Inc.

    302,451  

2,551

 

Ameriprise Financial, Inc.

    375,252  

6,464

 

Ares Capital Corporation

    120,457  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

19


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (46.7%)   Value

 

 

Financials (8.2%) - continued

 

1,455

 

Argo Group International Holdings, Ltd.

    $102,199  

23,734

 

Assured Guaranty, Ltd.

    1,055,214  

1,413

 

Baloise Holding AG

    253,174  

47,211

 

Bank Leumi Le-Israel BM

    336,134  

56,639

 

Bank of America Corporation

    1,652,160  

308

 

Bank of Marin Bancorp

    12,779  

11,384

 

Bank of Montreal

    838,473  

2,449

 

Berkshire Hathaway, Inc.g

    509,441  

1,056

 

BlackRock, Inc.

    470,596  

1,692

 

BOK Financial Corporation

    133,922  

6,681

 

Bridgewater Bancshares, Inc.g

    79,771  

4,170

 

BrightSphere Investment Group

    41,325  

7,530

 

Capital One Financial Corporation

    685,079  

5,647

 

Charles Schwab Corporation

    236,214  

2,830

 

Chubb, Ltd.

    456,875  

48,829

 

CI Financial Corporation

    712,431  

19,931

 

Citigroup, Inc.

    1,376,833  

17,883

 

CNP Assurances

    345,583  

3,924

 

Cohen & Steers, Inc.

    215,545  

3,360

 

Comerica, Inc.

    221,726  

1,246

 

Community Trust Bancorp, Inc.

    53,055  

43,500

 

DBS Group Holdings, Ltd.

    786,963  

784

 

Deutsche Boerse AG

    122,272  

16,170

 

Deutsche Pfandbriefbank AGh

    197,143  

27,878

 

Direct Line Insurance Group plc

    102,856  

20,435

 

DnB ASA

    360,228  

12,522

 

E*TRADE Financial Corporation

    547,086  

2,033

 

Ellington Residential Mortgage REIT

    21,428  

8,645

 

Euronext NVh

    707,863  

313

 

FBL Financial Group, Inc.

    18,627  

23,200

 

Fifth Third Bancorp

    635,216  

370

 

Financial Institutions, Inc.

    11,167  

2,571

 

First Busey Corporation

    64,995  

754

 

First Citizens BancShares, Inc.

    355,549  

335

 

First Defiance Financial Corporation

    9,703  

140

 

First Financial Corporation

    6,086  

5,220

 

First Interstate BancSystem, Inc.

    210,053  

239

 

First Mid-Illinois Bancshares, Inc.

    8,274  

4,300

 

First Republic Bank

    415,810  

66,501

 

FlexiGroup, Ltd.

    114,668  

872

 

Goldman Sachs Group, Inc.

    180,704  

1,668

 

Great Southern Bancorp, Inc.

    94,993  

1,912

 

Hamilton Lane, Inc.

    108,907  

17,491

 

Hartford Financial Services Group, Inc.

    1,060,129  

4,282

 

Heartland Financial USA, Inc.

    191,577  

18,160

 

Heritage Commerce Corporation

    213,471  

958

 

Hometrust Bancshares, Inc.

    24,975  

4,063

 

Horace Mann Educators Corporation

    188,239  

2,151

 

Houlihan Lokey, Inc.

    97,010  

97,562

 

HSBC Holdings plc

    747,541  

4,649

 

IBERIABANK Corporation

    351,185  

433

 

Independent Bank Corporation

    9,229  

4,228

 

Intercontinental Exchange, Inc.

    390,118  

110,467

 

Israel Discount Bank, Ltd.

    485,523  

9,372

 

J.P. Morgan Chase & Company

    1,102,991  

1,761

 

Kemper Corporation

    137,270  

32,720

 

KeyCorp

    583,725  

646

 

Lakeland Bancorp, Inc.

    9,968  

7,771

 

Laurentian Bank of Canada

    264,127  

38,873

 

Manulife Financial Corporation

    712,997  

504

 

Markel Corporationg

    595,678  

63,741

 

Medibank Private, Ltd.

    146,383  

8,597

 

Meridian Bancorp, Inc.

    161,194  

7,830

 

MetLife, Inc.

    369,263  
Shares   Common Stock (46.7%)   Value

 

 

Financials (8.2%) - continued

 

3,229

 

MidWestOne Financial Group, Inc.

    $98,549  

504

 

Moody’s Corporation

    103,234  

6,540

 

Morgan Stanley

    279,062  

7,050

 

National Bank of Canada

    350,784  

4,457

 

Northern Trust Corporation

    415,927  

2,245

 

Paragon Banking Group plc

    13,313  

2,150

 

Pargesa Holding SA

    165,375  

11,608

 

PCSB Financial Corporation

    232,044  

266

 

Peapack-Gladstone Financial Corporation

    7,456  

1,635

 

Primerica, Inc.

    208,021  

7,949

 

Prosight Global, Inc.g

    153,893  

2,560

 

Prudential Financial, Inc.

    230,272  

214

 

QCR Holdings, Inc.

    8,128  

15,700

 

Radian Group, Inc.

    358,588  

5,010

 

Raymond James Financial, Inc.

    413,125  

3,982

 

Royal Bank of Canada

    323,014  

1,087

 

S&P Global, Inc.

    266,293  

9,066

 

Santander Consumer USA Holdings, Inc.

    231,274  

8,753

 

Seacoast Banking Corporation of Floridag

    221,538  

2,600

 

Senshu Ikeda Holdings, Inc.

    4,514  

11,411

 

Skandinaviska Enskilda Banken AB

    104,852  

26,566

 

SLM Corporation

    234,445  

3,825

 

State Auto Financial Corporation

    123,892  

2,414

 

State Street Corporation

    142,885  

4,983

 

Sun Life Financial, Inc.

    222,812  

10,092

 

Synovus Financial Corporation

    360,890  

4,631

 

Topdanmark AS

    223,549  

19,688

 

Toronto-Dominion Bank

    1,147,977  

4,489

 

TrustCo Bank Corporation

    36,585  

13,610

 

U.S. Bancorp

    753,177  

5,215

 

United Community Banks, Inc.

    147,845  

218

 

Washington Trust Bancorp, Inc.

    10,532  

116

 

Wells Fargo & Company

    5,851  

20,905

 

Zions Bancorporations NA

    930,691  
  Total     34,957,881  

Health Care (6.1%)

 

4,303

 

Abbott Laboratories

    360,032  

4,672

 

Amgen, Inc.

    904,079  

2,217

 

Amplifon SPA

    54,391  

2,486

 

Anthem, Inc.

    596,889  

12,600

 

Bausch Health Companies, Inc.g

    275,310  

670

 

Becton, Dickinson and Company

    169,483  

582

 

Biogen, Inc.g

    135,501  

2,766

 

Catalent, Inc.g

    131,828  

1,150

 

Cigna Holding Company

    174,558  

12,207

 

CVS Health Corporation

    769,895  

8,174

 

Danaher Corporation

    1,180,571  

4,868

 

Edwards Lifesciences Corporationg

    1,070,522  

19,614

 

Gilead Sciences, Inc.

    1,243,135  

56,396

 

GlaxoSmithKline plc

    1,208,820  

22,376

 

Halozyme Therapeutics, Inc.g

    347,052  

732

 

Humana, Inc.

    187,150  

916

 

Illumina, Inc.g

    278,666  

739

 

Intuitive Surgical, Inc.g

    399,008  

2,550

 

Jazz Pharmaceuticals, Inc.g

    326,757  

16,438

 

Johnson & Johnson

    2,126,748  

1,100

 

KYORIN Holdings, Inc.

    18,261  

2,075

 

LHC Group, Inc.g

    235,637  

2,125

 

Ligand Pharmaceuticals, Inc.g,i

    211,522  

381

 

LNA Sante

    19,472  

17,338

 

Medtronic plc

    1,883,254  

17,594

 

Merck & Company, Inc.

    1,481,063  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

20


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (46.7%)   Value

 

 

Health Care (6.1%) - continued

 

5,300

 

Mitsubishi Tanabe Pharma Corporation

    $58,408  

1,140

 

Neurocrine Biosciences, Inc.g

    102,725  

18,215

 

Novartis AG

    1,580,825  

28,076

 

Novo Nordisk AS

    1,450,861  

8,804

 

Optinose, Inc.g,i

    61,628  

1,116

 

PerkinElmer, Inc.

    95,050  

12,170

 

Pfizer, Inc.

    437,268  

9,871

 

Recordati SPA

    423,357  

4,857

 

Roche Holding AG

    1,414,187  

6,177

 

Syneos Health, Inc.g

    328,678  

3,992

 

Thermo Fisher Scientific, Inc.

    1,162,750  

8,156

 

UnitedHealth Group, Inc.

    1,772,462  

2,950

 

Universal Health Services, Inc.

    438,813  

1,524

 

Vertex Pharmaceuticals, Inc.g

    258,196  

16,080

 

Wright Medical Group NVg

    331,730  

3,302

 

Zoetis, Inc.

    411,396  
  Total     26,117,938  

Industrials (6.7%)

 

1,359

 

Aalberts NV

    53,818  

3,877

 

ACS Actividades de Construccion y Servicios, SA

    154,910  

10,158

 

AGCO Corporation

    768,961  

16,897

 

Altra Industrial Motion Corporation

    467,962  

6,987

 

AMETEK, Inc.

    641,546  

6,636

 

Arcosa, Inc.

    227,018  

5,064

 

ASGN, Inc.g

    318,323  

23,174

 

Atlas Copco AB, Class A

    713,600  

12,472

 

Atlas Copco AB, Class B

    337,730  

2,904

 

AZZ, Inc.

    126,498  

910

 

Boeing Company

    346,228  

1,989

 

CBIZ, Inc.g

    46,741  

2,441

 

CIA De Distribucion Integral

    47,563  

1,833

 

Crane Company

    147,795  

1,082

 

CSW Industrials, Inc.

    74,690  

3,792

 

CSX Corporation

    262,672  

4,971

 

Curtiss-Wright Corporation

    643,098  

10,710

 

Delta Air Lines, Inc.

    616,896  

6,012

 

EMCOR Group, Inc.

    517,753  

7,366

 

Emerson Electric Company

    492,491  

4,904

 

Encore Wire Corporation

    275,997  

29

 

Geberit AG

    13,859  

5,705

 

General Dynamics Corporation

    1,042,475  

289

 

Gorman-Rupp Company

    10,054  

1,903

 

Granite Construction, Inc.

    61,143  

1,900

 

GS Yuasa Corporation

    33,000  

32,976

 

GWA Group, Ltd.i

    75,489  

500

 

Hanwa Company, Ltd.

    13,728  

5,900

 

Hino Motors, Ltd.

    48,894  

12,574

 

Honeywell International, Inc.

    2,127,521  

3,450

 

Huntington Ingalls Industries, Inc.

    730,676  

1,455

 

ICF International, Inc.

    122,904  

2,717

 

IDEX Corporation

    445,262  

3,900

 

Inaba Denki Sangyo Company, Ltd.

    171,254  

3,440

 

Ingersoll-Rand plc

    423,842  

7,580

 

Johnson Controls International plc

    332,686  

9,274

 

Koninklijke Philips NV

    428,544  

9,393

 

Legrand SA

    670,380  

2,691

 

Lockheed Martin Corporation

    1,049,651  

39,200

 

Marubeni Corporation

    261,424  

400

 

Masonite International Corporationg

    23,200  

16,900

 

Mitsubishi Corporation

    416,127  

3,000

 

Mitsuboshi Belting, Ltd.

    49,392  

36,800

 

Mitsui & Company, Ltd.

    604,492  

6,559

 

MRC Global, Inc.g

    79,561  
Shares   Common Stock (46.7%)   Value

 

 

Industrials (6.7%) - continued

 

12,813

 

National Express Group plc

    $68,215  

9,800

 

Nitto Kogyo Corporation

    186,334  

5,470

 

Nobina ABh

    34,185  

3,380

 

Norfolk Southern Corporation

    607,251  

3,906

 

Northgate plc

    15,849  

1,550

 

Old Dominion Freight Line, Inc.

    263,454  

18,315

 

PageGroup plc

    98,730  

2,350

 

Parker Hannifin Corporation

    424,434  

16,902

 

Primoris Services Corporation

    331,448  

4,342

 

Raven Industries, Inc.

    145,283  

33,536

 

RELX plc

    796,467  

7,504

 

Ritchie Brothers Auctioneers, Inc.

    299,410  

749

 

Roper Industries, Inc.

    267,093  

1,787

 

Saia, Inc.g

    167,442  

6,079

 

Sandvik AB

    94,638  

7,119

 

Schneider Electric SE

    622,502  

16,396

 

Signify NVh

    450,606  

22,474

 

SKF AB

    371,116  

58,400

 

Sojitz Corporation

    181,675  

15,450

 

Southwest Airlines Company

    834,455  

1,573

 

Spirax-Sarco Engineering plc

    151,548  

775

 

Standex International Corporation

    56,529  

32,200

 

Sumitomo Corporation

    504,106  

52,400

 

Sumitomo Electric Industries, Ltd.

    668,699  

1,500

 

Taikisha, Ltd.

    45,417  

1,925

 

Teledyne Technologies, Inc.g

    619,831  

4,200

 

Toppan Forms Company, Ltd.

    39,894  

2,814

 

Transcontinental, Inc.

    32,880  

3,100

 

Tsubakimoto Chain Company

    99,781  

219

 

UniFirst Corporation

    42,731  

5,550

 

United Airlines Holdings, Inc.g

    490,676  

12,404

 

United Technologies Corporation

    1,693,394  

2,300

 

Valmont Industries, Inc.

    318,412  

5,777

 

Verisk Analytics, Inc.

    913,575  

1,076

 

Waste Connections, Inc.

    98,992  

1,700

 

Yuasa Trading Company, Ltd.

    48,664  
  Total     28,603,564  

Information Technology (9.0%)

 

3,630

 

Accenture plc

    698,230  

2,028

 

Advanced Energy Industries, Inc.g

    116,427  

32,466

 

Advanced Micro Devices, Inc.g

    941,189  

9,350

 

Akamai Technologies, Inc.g

    854,403  

3,450

 

Alliance Data Systems Corporation

    442,048  

8,324

 

Amadeus IT Holding SA

    596,430  

6,430

 

Amphenol Corporation

    620,495  

2,946

 

ANSYS, Inc.g

    652,127  

14,701

 

Apple, Inc.

    3,292,583  

636

 

Arista Networks, Inc.g

    151,953  

4,702

 

Automatic Data Processing, Inc.

    758,997  

3,918

 

Blackline, Inc.g

    187,320  

23,500

 

Canon, Inc.

    628,441  

7,030

 

Capgemini SA

    827,794  

16,220

 

CGI, Inc.g

    1,282,566  

18,169

 

Ciena Corporationg

    712,770  

67,432

 

Cisco Systems, Inc.

    3,331,815  

3,627

 

Clearwater Energy, Inc.

    62,892  

2,886

 

Computer Services, Inc.

    131,313  

24,499

 

Computershare, Ltd.

    267,819  

6,050

 

DocuSign, Inc.g

    374,616  

12,809

 

Dolby Laboratories, Inc.

    827,974  

1,932

 

Euronet Worldwide, Inc.g

    282,652  

447

 

Fair Isaac Corporationg

    135,673  

1,546

 

Fiserv, Inc.g

    160,150  

30,285

 

Halma plc

    733,058  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

21


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares       Common Stock (46.7%)   Value

Information Technology (9.0%) - continued

 

377

  International Business Machines Corporation     $54,823  

2,906

  Intuit, Inc.     772,822  

3,400

  KLA-Tencor Corporation     542,130  

727

  Lam Research Corporation     168,017  

5,400

  Lattice Semiconductor Corporationg     98,739  

5,748

  MasterCard, Inc.     1,560,984  

16,061

  Micron Technology, Inc.g     688,214  

36,430

  Microsoft Corporation     5,064,863  

321

  MicroStrategy, Inc.g     47,627  

856

  Monolithic Power Systems, Inc.     133,219  

1,370

  Motorola Solutions, Inc.     233,462  

6,843

  National Instruments Corporation     287,338  
5,200  

NEC Networks & System Integration Corporation

    141,614  

1,610

  Nice, Ltd. ADRg     231,518  

1,603

  NVIDIA Corporation     279,034  

16,878

  Oracle Corporation     928,796  

5,127

  PayPal Holdings, Inc.g     531,106  

5,577

  Plexus Corporationg     348,618  

3,960

  QUALCOMM, Inc.     302,069  

2,006

  Rogers Corporationg     274,240  

2,100

  Ryoyo Electro Corporation     36,022  

9,332

  SailPoint Technologies Holdings, Inc.g     174,415  

2,742

  Salesforce.com, Inc.g     407,022  

328

  Samsung Electronics Company, Ltd. GDR     334,193  

10,000

  Shinko Electric Industries Company, Ltd.     85,820  

2,537

  Square, Inc.g     157,167  

4,500

  Synopsys, Inc.g     617,625  

5,614

  TE Connectivity, Ltd.     523,113  

8,500

  Teradata Corporationg     263,500  

8,550

  Teradyne, Inc.     495,130  

12,742

  Texas Instruments, Inc.     1,646,776  

400

  TTM Technologies, Inc.g     4,878  

1,287

  VeriSign, Inc.g     242,767  

5,784

  Virtusa Corporationg     208,340  

5,679

  Visa, Inc.     976,845  
704  

Workday, Inc.g

    119,652  
  Total     38,054,233  

Materials (1.7%)

 

8,980

  Alcoa Corporationg     180,229  

1,399

  Balchem Corporation     138,767  

6,750

  Ball Corporation     491,467  

22,718

  BHP Group, Ltd.     561,375  

3,321

  Boise Cascade Company     108,231  

9,200

  CF Industries Holdings, Inc.     452,640  

7,150

  Eastman Chemical Company     527,885  

4,450

  Ecolab, Inc.     881,278  

10,031

  Granges AB     102,367  

1,859

  Hexpol AB     14,269  

2,700

  Hokuetsu Corporation     13,567  

14,800

  JSR Corporation     238,291  

1,133

  Kadant, Inc.     99,466  

874

  Kaiser Aluminum Corporation     86,500  

4,511

  Koninklijke DSM NV     543,044  

9,800

  Kyoei Steel, Ltd.     184,653  

1,600

  Lintec Corporation     31,851  

13,077

  Louisiana-Pacific Corporation     321,433  

9,900

  Mitsubishi Gas Chemical Company, Inc.     133,154  

1,300

  Nippon Kayaku Company, Ltd.     15,588  

40,900

  Nippon Steel Corporation     573,105  

3,820

  Nucor Corporation     194,476  
Shares       Common Stock (46.7%)   Value

Materials (1.7%) - continued

 

953

  PPG Industries, Inc.     $112,940  

22,087

  Sandfire Resources NL     97,905  

500

  Sanyo Special Steel Company, Ltd.     6,703  

11,150

  Steel Dynamics, Inc.     332,270  

1,500

  Taiyo Holdings Company, Ltd.     50,707  

6,800

  Toagosei Company, Ltd.     77,111  

2,043

  United States Lime & Minerals, Inc.     156,290  

7,426

  UPM-Kymmene Oyj     219,280  
10,156  

Verso Corporationg

    125,731  
 

Total

    7,072,573  

Real Estate (1.9%)

 

2,634

  Agree Realty Corporation     192,677  

3,256

  Alexandria Real Estate Equities, Inc.     501,554  

3,488

  Allied Properties REIT     141,036  

3,480

  Alstria Office REIT AG     59,702  

7,101

  American Campus Communities, Inc.     341,416  

2,335

  American Tower Corporation     516,338  

5,914

  Apple Hospitality REIT, Inc.     98,054  

27,000

  Ascendas REIT     60,977  

5,107

  Camden Property Trust     566,928  

7,996

  Castellum AB     171,186  

3,846

  Choice Properties REIT     41,919  

94

  Cofinimmo SA     13,237  

1,122

  CoreSite Realty Corporation     136,716  

7,046

  Cousins Properties, Inc.     264,859  

4,100

  Daito Trust Construction Company, Ltd.     525,122  

809

  Deutsche EuroShop AG     22,819  

2,655

  Digital Realty Trust, Inc.     344,646  

11,973

  Duke Realty Corporation     406,723  

1,060

  Entra ASAh     16,625  

1,564

  First Capital Realty, Inc.     26,054  

32

  GLP J-Reit     42,440  

5,808

  Granite REIT     281,227  

1,980

  H&R REIT     34,568  

27,971

  Host Hotels & Resorts, Inc.     483,619  

57,000

  Hysan Development Company, Ltd.     229,860  

14,842

  Klepierre SA     504,043  

317

  LEG Immobilien AG     36,276  

25,800

  Mapletree Commercial Trust     42,769  

17,200

  Mapletree Logistics Trust     20,163  

5,203

  Merlin Properties Socimi SA     72,641  

10,976

  MGIC Investment Corporation     138,078  

148,528

  Mirvac Group     306,839  

7,759

  Physicians Realty Trust     137,722  

2,398

  PSP Swiss Property AG     304,455  

6,000

  QTS Realty Trust, Inc.     308,460  

5,259

  Quebecor, Inc.     119,403  

4,409

  RioCan REIT     87,791  

19,000

  Road King Infrastructure, Ltd.     32,095  

1,034

  Swiss Prime Site AG     101,192  

7,581

  TAG Immobilien AG     173,003  

1,978

  Terreno Realty Corporation     101,056  
44,700  

Wing Tai Holdings, Ltd.

    66,295  
  Total     8,072,583  

Utilities (1.0%)

 

34,369

  AGL Energy, Ltd.     444,631  

8,250

  Alliant Energy Corporation     444,923  

6,900

  CMS Energy Corporation     441,255  

7,696

  Contact Energy, Ltd.     41,161  

20,751

  Enagas SA     479,692  

4,650

  Entergy Corporation     545,724  

17,052

  Exelon Corporation     823,782  

2,682

  New Jersey Resources Corporation     121,280  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

22


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares       Common Stock (46.7%)   Value

Utilities (1.0%) - continued

 

2,751

  Northland Power, Inc.     $52,784  

1,903

  NorthWestern Corporation     142,820  

4,451

  PNM Resources, Inc.     231,808  

5,850

  Public Service Enterprise Group, Inc.     363,168  

1,785

  Spire, Inc.     155,723  
398  

Unitil Corporation

    25,249  
 

Total

    4,314,000  
           
 

Total Common Stock

(cost $181,228,549)

    198,730,474  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value
Asset-Backed Securities (2.2%)  
 

Babson CLO, Ltd.

 

675,000

 

5.178%, (LIBOR 3M + 2.900%), 7/20/2029, Ser. 2018-3A, Class Db,h

    630,950  
 

Bayview Opportunity Master Fund Trust

 

379,036

 

3.228%, 8/28/2034, Ser. 2019-LT1, Class A1h

    379,153  
 

Benefit Street Partners CLO IV, Ltd.

 

300,000

 

4.028%, (LIBOR 3M + 1.750%), 1/20/2029, Ser. 2014-IVA, Class A2RRb,h

    299,857  
 

Business Jet Securities, LLC

 

401,654

 

4.447%, 6/15/2033, Ser. 2018-2, Class Ah

    408,743  
 

Cent CLO, LP

 

850,000

 

4.576%, (LIBOR 3M + 2.300%), 10/25/2028, Ser. 2018-27A, Class Bb,h

    843,292  
 

College Ave Student Loans, LLC

 

244,437

 

3.668%, (LIBOR 1M + 1.650%), 11/26/2046, Ser. 2017-A, Class A1b,h

    245,317  
 

Foundation Finance Trust

 

202,929

 

3.300%, 7/15/2033, Ser. 2017-1A, Class Ah

    203,835  
 

Harley Marine Financing, LLC

 

453,375

 

5.682%, 5/15/2043, Ser. 2018-1A, Class A2h

    396,703  
 

Madison Park Funding XIV, Ltd.

 

500,000

 

3.678%, (LIBOR 3M + 1.400%), 10/22/2030, Ser. 2014-14A, Class A2RRb,h

    493,677  
 

OHA Credit Funding 1, Ltd.

 

390,000

 

3.728%, (LIBOR 3M + 1.450%), 10/20/2030, Ser. 2018-1A, Class A2b,h

    385,244  
 

OZLM Funding II, Ltd.

 

785,000

 

3.766%, (LIBOR 3M + 1.500%), 7/30/2031, Ser. 2012-2A, Class A1BRb,h

    777,836  
 

OZLM IX, Ltd.

 

425,000

 

3.828%, (LIBOR 3M + 1.550%), 10/20/2031, Ser. 2014-9A, Class A1BRb,h

    422,828  
 

Palmer Square Loan Funding, Ltd.

 

300,000

 

4.528%, (LIBOR 3M + 2.250%), 4/20/2027, Ser. 2019-1A, Class Bb,h

    297,550  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

Asset-Backed Securities (2.2%) - continued

 
 

Park Avenue Institutional Advisers CLO, Ltd.

 

$800,000

 

3.778%, (LIBOR 3M + 1.500%), 10/20/2031, Ser. 2018-1A, Class A1Bb,h

    $787,889  
 

Preston Ridge Partners Mortgage Trust, LLC

 

45,831

 

4.250%, 1/25/2022, Ser. 2017-1A, Class A1h,j

    45,931  
 

Pretium Mortgage Credit Partners, LLC

 

393,777

 

3.721%, 1/25/2059, Ser. 2019-CFL1, Class A1h,j

    392,932  

210,993

 

4.826%, 9/25/2058, Ser. 2018-NPL4, Class A1h,j

    212,146  
 

Riserva CLO, Ltd.

 

350,000

 

4.000%, (LIBOR 3M + 1.700%), 10/18/2028, Ser. 2016-3A, Class BRb,h

    349,161  
 

Sound Point CLO X, Ltd.

 

400,000

 

4.978%, (LIBOR 3M + 2.700%), 1/20/2028, Ser. 2015-3A, Class DRb,h

    388,923  
 

Sound Point CLO XXI, Ltd.

 

800,000

 

3.717%, (LIBOR 3M + 1.450%), 10/26/2031, Ser. 2018-3A, Class A1Bb,h

    787,594  
 

THL Credit Wind River CLO, Ltd.

 

350,000

 

5.153%, (LIBOR 3M + 2.850%), 7/15/2028, Ser. 2016-1A, Class DRb,h

    340,355  
 

Vericrest Opportunity Loan Transferee

 
346,304  

3.352%, 9/25/2049, Ser. 2019-NPL5, Class A1Ah,j

    347,381  
  Total     9,437,297  

Basic Materials (0.4%)

 
 

Anglo American Capital plc

 

86,000

 

4.125%, 9/27/2022h

    89,578  
 

BHP Billiton Finance USA, Ltd.

 

144,000

 

6.750%, 10/19/2075b,h

    168,300  
 

CF Industries, Inc.

 

195,000

 

3.450%, 6/1/2023

    197,925  
 

First Quantum Minerals, Ltd.

 

240,000

 

7.500%, 4/1/2025h

    236,400  
 

Kinross Gold Corporation

 

44,000

 

5.125%, 9/1/2021

    45,650  
 

Novelis Corporation

 

230,000

 

5.875%, 9/30/2026h

    241,212  
 

Olin Corporation

 

200,000

 

5.125%, 9/15/2027

    204,500  
 

Packaging Corporation of America

 

63,000

 

2.450%, 12/15/2020

    63,131  
 

Peabody Securities Finance Corporation

 

170,000

 

6.375%, 3/31/2025h

    167,982  
 

Syngenta Finance NV

 

71,000

 

3.933%, 4/23/2021h

    72,298  
 

Tronox Finance plc

 

130,000

 

5.750%, 10/1/2025h

    122,948  
 

Vale Overseas, Ltd.

 

20,000

 

4.375%, 1/11/2022

    20,650  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

23


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value
Basic Materials (0.4%) - continued  
 

Xstrata Finance Canada, Ltd.

 
$66,000  

4.950%, 11/15/2021h

    $69,036  
 

Total

    1,699,610  

Capital Goods (1.2%)

 
 

AECOM

 

100,000

 

5.875%, 10/15/2024

    108,700  

170,000

 

5.125%, 3/15/2027

    178,500  
 

Aerojet Rocketdyne Holdings, Inc., Convertible

 

240,000

 

2.250%, 12/15/2023

    478,500  
 

Amsted Industries, Inc.

 

150,000

 

5.625%, 7/1/2027h

    158,250  
 

Ardagh Packaging Finance plc

 

220,000

 

6.000%, 2/15/2025h

    230,032  
 

Bombardier, Inc.

 

340,000

 

7.500%, 3/15/2025h

    339,575  
 

Building Materials Corporation of America

 

280,000

 

6.000%, 10/15/2025h

    293,569  
 

Caterpillar Financial Services Corporation

 

65,000

 

1.850%, 9/4/2020

    64,906  

53,000

 

1.900%, 9/6/2022

    52,932  
 

Cemex SAB de CV

 

300,000

 

5.700%, 1/11/2025h

    308,613  
 

Chart Industries, Inc., Convertible

 

29,000

 

1.000%, 11/15/2024h

    36,286  
 

Cintas Corporation No. 2

 

64,000

 

2.900%, 4/1/2022

    65,401  
 

CNH Industrial Capital, LLC

 

64,000

 

4.875%, 4/1/2021

    66,252  
 

Covanta Holding Corporation

 

120,000

 

6.000%, 1/1/2027

    126,300  
 

Crown Americas Capital Corporation IV

 

190,000

 

4.500%, 1/15/2023

    199,500  
 

General Electric Company

 

260,000

 

5.000%, 1/21/2021b,k

    246,675  
 

H&E Equipment Services, Inc.

 

185,000

 

5.625%, 9/1/2025

    190,439  
 

KBR, Inc., Convertible

 

80,000

 

2.500%, 11/1/2023h

    92,555  
 

Lockheed Martin Corporation

 

65,000

 

2.500%, 11/23/2020

    65,285  
 

Owens-Brockway Glass Container, Inc.

 

225,000

 

5.000%, 1/15/2022h

    232,076  
 

Parker-Hannifin Corporation

 

70,000

 

2.700%, 6/14/2024

    71,305  
 

Republic Services, Inc.

 

34,000

 

2.500%, 8/15/2024

    34,374  
 

Reynolds Group Issuer, Inc.

 

340,000

 

5.125%, 7/15/2023h

    348,075  
 

Rockwell Collins, Inc.

 

41,000

 

2.800%, 3/15/2022

    41,676  
 

Roper Technologies, Inc.

 

33,000

 

2.350%, 9/15/2024

    33,009  
 

Textron Financial Corporation

 

500,000

 

3.893%, (LIBOR 3M + 1.735%), 2/15/2042b,h

    378,135  
 

TTM Technologies, Inc., Convertible

 

148,000

 

1.750%, 12/15/2020

    197,330  
 

United Rentals North America, Inc.

 

290,000

 

5.500%, 7/15/2025

    301,745  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value
Capital Goods (1.2%) - continued  
 

United Technologies Corporation

 

$78,000

 

3.950%, 8/16/2025

    $85,389  
 

Waste Management, Inc.

 
35,000  

2.950%, 6/15/2024

    36,190  
 

Total

    5,061,574  

Collateralized Mortgage Obligations (4.4%)

 
 

Alternative Loan Trust 2007-6

 

168,562

 

5.750%, 4/25/2047, Ser. 2007-6, Class A4

    149,018  
 

Antler Mortgage Trust

 

400,000

 

4.458%, 6/27/2022, Ser. 2019-RTL1, Class A1h

    405,420  

1,225,000

 

4.335%, 7/25/2022, Ser. 2018-RTL1, Class A1h

    1,231,823  
 

Banc of America Alternative Loan Trust

 

263,444

 

6.000%, 11/25/2035, Ser. 2005-10, Class 3CB1

    253,980  
 

Banc of America Mortgage Securities Trust

 

311,101

 

4.305%, 9/25/2035, Ser. 2005-H, Class 3A1b

    309,851  
 

Banc of America Mortgage Securities, Inc.

 

60,576

 

4.252%, 9/25/2035, Ser. 2005-H, Class 2A1b

    59,666  
 

Bear Stearns ARM Trust

 

81,392

 

4.471%, 1/25/2034, Ser. 2003-8, Class 5Ab

    81,772  
 

Bellemeade Re 2018-1, Ltd.

 

752,204

 

3.618%, (LIBOR 1M + 1.600%), 4/25/2028, Ser. 2018-1A, Class M1Bb,h

    753,034  
 

CHL Mortgage Pass-Through Trust

 

287,102

 

3.837%, 11/20/2035, Ser. 2005-HYB7, Class 6A1b

    262,083  

141,241

 

4.254%, 12/20/2035, Ser. 2005-HYB8, Class 3A1b

    138,529  

456,964

 

6.000%, 11/25/2037, Ser. 2007-18, Class 1A2

    390,658  
 

CIM Trust

 

331,110

 

5.000%, 12/25/2057, Ser. 2018-R3, Class A1b,h

    346,950  
 

Citigroup Mortgage Loan Trust, Inc.

 

378,260

 

4.738%, 4/25/2037, Ser. 2007-AR5, Class 1A1Ab

    377,759  
 

Countrywide Alternative Loan Trust

 

298,496

 

6.500%, 8/25/2036, Ser. 2006-23CB, Class 2A3

    181,048  
 

Countrywide Home Loan Mortgage Pass Through Trust

 

164,786

 

3.985%, 11/25/2035, Ser. 2005-22, Class 2A1b

    149,428  
 

Credit Suisse First Boston Mortgage Securities Corporation

 

124,344

 

5.250%, 10/25/2035, Ser. 2005-9, Class 1A3

    126,782  
 

Credit Suisse Mortgage Capital Certificates

 

298,952

 

3.322%, 10/25/2058, Ser. 2019-RPL8, Class A1b,h

    300,218  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

24


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

Collateralized Mortgage Obligations (4.4%) - continued

 
 

Deutsche Alt-A Securities, Inc., Mortgage Loan Trust

 

$240,163

 

5.250%, 6/25/2035, Ser. 2005-3, Class 4A6

    $251,326  

175,415

 

3.423%, 8/25/2035, Ser. 2005-AR1, Class 2A3b

    167,522  
 

Eagle Re, Ltd.

 

500,000

 

3.818%, (LIBOR 1M + 1.800%), 4/25/2029, Ser. 2019-1, Class M1Bb,h

    501,913  
 

Federal Home Loan Mortgage Corporation - REMIC

 

986,248

 

3.000%, 5/15/2027, Ser. 4046, Class GIl

    66,706  

981,928

 

3.500%, 10/15/2032, Ser. 4119, Class KIl

    118,743  

1,159,629

 

3.000%, 4/15/2033, Ser. 4203, Class DIl

    87,090  
 

Federal National Mortgage Association - REMIC

 

1,253,534

 

3.000%, 7/25/2027, Ser. 2012-73, Class DIl

    93,130  

986,207

 

3.000%, 7/25/2027, Ser. 2012-74, Class AIl

    64,473  

2,004,117

 

3.000%, 8/25/2027, Ser. 2012-95, Class HIl

    129,308  

2,300,442

 

3.000%, 11/25/2027, Ser. 2012-121, Class BIl

    166,237  

1,415,828

 

3.000%, 12/25/2027, Ser. 2012-139, Class DIl

    96,904  

701,108

 

2.500%, 1/25/2028, Ser. 2012-152, Class AIl

    45,861  

1,890,789

 

3.000%, 1/25/2028, Ser. 2012-147, Class EIl

    129,520  

783,878

 

3.000%, 2/25/2028, Ser. 2013-2, Class GIl

    56,791  

3,011,332

 

3.000%, 3/25/2028, Ser. 2013-18, Class ILl

    202,432  

722,140

 

2.500%, 6/25/2028, Ser. 2013-87, Class IWl

    47,904  

1,096,449

 

3.000%, 11/25/2031, Ser. 2013-69, Class IOl

    67,772  

661,532

 

3.000%, 2/25/2033, Ser. 2013-1, Class YIl

    77,063  
 

GMAC Mortgage Corporation Loan Trust

 

115,577

 

4.072%, 5/25/2035, Ser. 2005-AR2, Class 4Ab

    113,338  

61,903

 

2.518%, (LIBOR 1M + 0.500%), 8/25/2035, Ser. 2005-HE1, Class A2b,m

    73,449  
 

GMACM Mortgage Loan Trust

 

78,980

 

4.632%, 11/19/2035, Ser. 2005-AR6, Class 1A1b

    78,081  
 

GSAA Home Equity Trust

 

76,740

 

4.485%, 8/25/2034, Ser. 2004-10, Class M2j

    80,087  
 

IndyMac INDA Mortgage Loan Trust

 

847,918

 

3.868%, 8/25/2036, Ser. 2006-AR1, Class A1b

    820,779  
 

IndyMac INDX Mortgage Loan Trust

 

381,914

 

2.228%, (LIBOR 1M + 0.210%), 4/25/2046, Ser. 2006-AR2, Class 1A1Bb

    360,519  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

Collateralized Mortgage Obligations (4.4%) - continued

 
  IndyMac Seconds Asset-Backed Trust  

$167,754

 

2.358%, (LIBOR 1M + 0.340%), 10/25/2036, Ser. 2006-2B, Class Ab,m

    $91,665  
  J.P. Morgan Alternative Loan Trust  

411,571

 

6.500%, 3/25/2036, Ser. 2006-S1, Class 1A19

    344,364  
  Legacy Mortgage Asset Trust  

449,723

 

4.000%, 1/25/2059, Ser. 2019-GS1, Class A1h

    455,115  
  Master Asset Securitization Trust  

519,113

 

2.518%, (LIBOR 1M + 0.500%), 6/25/2036, Ser. 2006-2, Class 2A2b

    217,792  
  Merrill Lynch Mortgage Investors Trust  

295,385

 

4.338%, 6/25/2035, Ser. 2005-A5, Class M1b

    310,166  
  Oak Hill Advisors Residential Loan Trust  

25,046

 

3.125%, 6/25/2057, Ser. 2017-NPL1, Class A1h,j

    25,045  
  Preston Ridge Partners Mortgage Trust, LLC  

152,688

 

4.500%, 1/25/2024, Ser. 2019-1A, Class A1h,j

    153,767  

469,815

 

3.967%, 4/25/2024, Ser. 2019-2A, Class A1h,j

    474,577  
  Pretium Mortgage Credit Partners, LLC  

390,576

 

4.213%, 7/25/2060, Ser. 2019-NPL1, Class A1h,j

    393,815  
  Radnor RE, Ltd.  

525,000

 

4.718%, (LIBOR 1M + 2.700%), 3/25/2028, Ser. 2018-1, Class M2b,h

    527,648  
  RCO 2017-INV1 Trust  

554,070

 

3.197%, 11/25/2052, Ser. 2017-INV1, Class Ab,h

    550,772  
  Renaissance Home Equity Loan Trust  

535,303

 

5.285%, 1/25/2037, Ser. 2006-4, Class AF2j

    275,472  
  Residential Accredit Loans, Inc. Trust  

180,291

 

6.000%, 8/25/2035, Ser. 2005-QS10, Class 2A

    181,569  

195,555

 

5.750%, 9/25/2035, Ser. 2005-QS13, Class 2A3

    194,071  

157,404

 

6.000%, 1/25/2037, Ser. 2007-QS1, Class 1A1

    149,164  
  Residential Asset Securitization Trust  

204,582

 

3.614%, 1/25/2034, Ser. 2004-IP1, Class A1b

    204,521  
  Residential Funding Mortgage Security I Trust  

318,028

 

6.000%, 7/25/2037, Ser. 2007-S7, Class A20

    312,629  
  Starwood Mortgage Residential Trust  

395,999

 

4.121%, 10/25/2048, Ser. 2018-IMC2, Class A1b,h

    403,512  
  Structured Adjustable Rate Mortgage Loan Trust  

114,258

 

4.240%, 7/25/2035, Ser. 2005-15, Class 4A1b

    107,271  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

25


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

Collateralized Mortgage Obligations (4.4%) - continued

 

$213,425

 

4.256%, 9/25/2035, Ser. 2005-18, Class 1A1b

    $188,816  
 

Structured Asset Mortgage Investments, Inc.

 

446,174

 

2.328%, (LIBOR 1M + 0.310%), 12/25/2035, Ser. 2005-AR4, Class A1b

    448,302  
 

Toorak Mortgage Corporation

 

500,000

 

4.375%, 8/25/2021, Ser. 2018-1, Class A1h,j

    505,121  

500,000

 

4.458%, 3/25/2022, Ser. 2019-1, Class A1h,j

    508,036  
 

Vericrest Opportunity Loan Trust

 

291,923

 

3.750%, 4/25/2048, Ser. 2018-NPL1, Class A1h,j

    292,389  

194,684

 

3.967%, 3/25/2049, Ser. 2019-NPL3, Class A1h,j

    195,771  

192,980

 

3.352%, 8/25/2049, Ser. 2019-NPL4, Class A1Ah,j

    193,326  
 

Verus Securitization Trust

 

357,835

 

3.345%, 4/25/2059, Ser. 2019-2, Class A2b,h

    359,851  
 

Wachovia Asset Securitization, Inc.

 

272,680

 

2.158%, (LIBOR 1M + 0.140%), 7/25/2037, Ser. 2007-HE1, Class Ab,h,m

    255,801  
 

WaMu Mortgage Pass Through Certificates

 

320,619

 

3.326%, (12 MTA + 0.880%), 10/25/2046, Ser. 2006-AR13, Class 1Ab

    303,861  

163,337

 

3.186%, (12 MTA + 0.740%), 1/25/2047, Ser. 2006-AR19, Class 1Ab

    158,542  
 

Wells Fargo Home Equity Trust

 

254,852

 

2.518%, (LIBOR 1M + 0.500%), 4/25/2034, Ser. 2004-1, Class M1b

    251,337  
 

Wells Fargo Mortgage Backed Securities Trust

 

107,033

 

5.005%, 3/25/2036, Ser. 2006-AR2, Class 2A1b

    109,976  

123,726

 

5.500%, 4/25/2036, Ser. 2006-4, Class 2A2

    122,030  

93,448

 

6.000%, 7/25/2037, Ser. 2007-10, Class 1A1

    94,177  
  Total     18,775,238  

Communications Services (2.0%)

 
 

AMC Networks, Inc.

 

300,000

 

5.000%, 4/1/2024

    309,000  
 

American Tower Corporation

 

65,000

 

2.800%, 6/1/2020

    65,247  

41,000

 

2.950%, 1/15/2025

    41,889  
 

AT&T, Inc.

 

140,000

 

4.450%, 4/1/2024

    151,450  
 

CCO Holdings, LLC

 

125,000

 

5.500%, 5/1/2026h

    130,925  

110,000

 

5.125%, 5/1/2027h

    114,812  
 

CCOH Safari, LLC

 

305,000

 

5.750%, 2/15/2026h

    321,775  
 

Charter Communications Operating, LLC

 

78,000

 

3.579%, 7/23/2020

    78,698  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

Communications Services (2.0%) - continued

 

$36,000

 

4.500%, 2/1/2024

    $38,679  

37,000

 

4.908%, 7/23/2025

    40,662  
 

Comcast Corporation

 

88,000

 

1.625%, 1/15/2022

    87,662  

39,000

 

3.700%, 4/15/2024

    41,583  

39,000

 

3.950%, 10/15/2025

    42,463  
 

Cox Communications, Inc.

 

51,000

 

2.950%, 6/30/2023h

    51,721  
 

Crown Castle International Corporation

 

35,000

 

3.400%, 2/15/2021

    35,479  

44,000

 

3.150%, 7/15/2023

    45,183  
 

CSC Holdings, LLC

 

200,000

 

5.500%, 5/15/2026h

    210,480  
 

Deutsche Telekom International Finance BV

 

34,000

 

2.485%, 9/19/2023h

    34,189  
 

Discovery Communications, LLC

 

85,000

 

2.950%, 3/20/2023

    86,369  
 

DISH Network Corporation, Convertible

 

1,104,000

 

3.375%, 8/15/2026

    1,011,491  
 

Embarq Corporation

 

110,000

 

7.995%, 6/1/2036

    108,728  
 

Fox Corporation

 

76,000

 

4.030%, 1/25/2024h

    80,853  
 

Frontier Communications Corporation

 

110,000

 

8.000%, 4/1/2027h

    116,016  
 

GCI Liberty, Inc., Convertible

 

759,000

 

1.750%, 9/30/2046h

    923,134  
 

Gray Escrow, Inc.

 

220,000

 

7.000%, 5/15/2027h

    241,714  
 

IAC FinanceCo, Inc., Convertible

 

185,000

 

0.875%, 10/1/2022h

    282,196  
 

Level 3 Communications, Inc.

 

200,000

 

5.375%, 1/15/2024

    203,970  
 

Level 3 Financing, Inc.

 

190,000

 

5.250%, 3/15/2026

    197,572  
 

Liberty Interactive, LLC, Convertible

 

118,000

 

1.800%, 1/15/2031

    107,704  
 

Liberty Media Corporation, Convertible

 

451,000

 

1.000%, 1/30/2023

    564,800  
 

Moody’s Corporation

 

44,000

 

2.750%, 12/15/2021

    44,581  
 

Neptune Finco Corporation

 

100,000

 

10.875%, 10/15/2025h

    113,245  
 

Netflix, Inc.

 

200,000

 

4.875%, 4/15/2028

    203,490  
 

Nexstar Escrow Corporation

 

174,000

 

5.625%, 8/1/2024h

    181,108  
 

Sirius XM Radio, Inc.

 

220,000

 

5.000%, 8/1/2027h

    226,919  
 

Sprint Corporation

 

420,000

 

7.625%, 2/15/2025

    462,000  
 

Telefonica Emisiones SAU

 

53,000

 

4.570%, 4/27/2023

    57,131  
 

T-Mobile USA, Inc.

 

340,000

 

4.500%, 2/1/2026

    349,962  
 

Twitter, Inc., Convertible

 

379,000

 

0.250%, 6/15/2024

    401,123  
 

Verizon Communications, Inc.

 

102,000

 

2.946%, 3/15/2022

    104,445  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

26


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Communications Services (2.0%) - continued

 

$81,000

 

3.258%, (LIBOR 3M + 1.100%), 5/15/2025b

    $82,252  
 

Viacom, Inc.

 

65,000

 

4.250%, 9/1/2023

    68,933  

100,000

 

5.875%, 2/28/2057b

    103,813  
 

Virgin Media Secured Finance plc

 

220,000

 

5.250%, 1/15/2026h

    226,050  
 

Vodafone Group plc

 

52,000

 

3.750%, 1/16/2024

    54,826  
 

 

 
  Total     8,446,322  
 

 

 

Consumer Cyclical (1.4%)

 
 

Allison Transmission, Inc.

 

305,000

 

5.000%, 10/1/2024h

    311,672  
 

American Honda Finance Corporation

 

66,000

 

2.000%, 2/14/2020

    65,994  

52,000

 

2.050%, 1/10/2023

    51,932  
 

BMW Finance NV

 

34,000

 

2.250%, 8/12/2022h

    34,030  
 

Brookfield Property REIT, Inc.

 

110,000

 

5.750%, 5/15/2026h

    114,950  
 

Brookfield Residential Properties, Inc.

 

240,000

 

6.250%, 9/15/2027h

    241,200  
 

Cinemark USA, Inc.

 

263,000

 

4.875%, 6/1/2023

    266,616  
 

D.R. Horton, Inc.

 

60,000

 

2.550%, 12/1/2020

    60,176  
 

Daimler Finance North America, LLC

 

32,000

 

2.550%, 8/15/2022h

    32,122  
 

Ford Motor Credit Company, LLC

 

87,000

 

2.597%, 11/4/2019

    86,996  

64,000

 

3.336%, 3/18/2021

    64,297  

78,000

 

5.596%, 1/7/2022

    81,951  
 

General Motors Financial Company, Inc.

 

64,000

 

2.650%, 4/13/2020

    64,085  

64,000

 

4.375%, 9/25/2021

    66,119  

36,000

 

4.200%, 11/6/2021

    37,139  

43,000

 

3.150%, 6/30/2022

    43,498  

42,000

 

6.500%, 9/30/2028b,k

    42,210  
 

Hanesbrands, Inc.

 

170,000

 

4.875%, 5/15/2026h

    179,605  
 

Harley-Davidson Financial Services, Inc.

 

52,000

 

4.050%, 2/4/2022h

    53,633  
 

Hilton Domestic Operating Company, Inc.

 

220,000

 

4.875%, 1/15/2030h

    232,287  
 

Home Depot, Inc.

 

65,000

 

2.625%, 6/1/2022

    66,505  
 

Hyundai Capital America

 

52,000

 

3.000%, 6/20/2022h

    52,395  
 

L Brands, Inc.

 

245,000

 

6.694%, 1/15/2027

    240,712  
 

Landry’s, Inc.

 

220,000

 

6.750%, 10/15/2024h

    225,500  
 

Lennar Corporation

 

65,000

 

2.950%, 11/29/2020

    64,916  

20,000

 

4.125%, 1/15/2022

    20,475  

265,000

 

4.500%, 4/30/2024

    279,177  
 

Live Nation Entertainment, Inc.

 

110,000

 

5.375%, 6/15/2022h

    111,375  

100,000

 

5.625%, 3/15/2026h

    106,375  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Consumer Cyclical (1.4%) - continued

 
  Macy’s Retail Holdings, Inc.  

$16,000

 

3.875%, 1/15/2022

    $16,273  

25,000

 

2.875%, 2/15/2023

    24,684  
  Mattamy Group Corporation  

180,000

 

6.500%, 10/1/2025h

    189,000  
  McDonald’s Corporation  

70,000

 

3.350%, 4/1/2023

    73,062  
  MGM Resorts International  

170,000

 

6.000%, 3/15/2023

    187,289  

185,000

 

5.750%, 6/15/2025

    203,731  
  Navistar International Corporation  

185,000

 

6.625%, 11/1/2025h

    187,775  
  New Red Finance, Inc.  

185,000

 

4.250%, 5/15/2024h

    190,311  

60,000

 

5.000%, 10/15/2025h

    61,980  
  Prime Security Services Borrower, LLC  

235,000

 

5.750%, 4/15/2026h

    244,706  
  Ralph Lauren Corporation  

60,000

 

2.625%, 8/18/2020

    60,379  
  Scientific Games International, Inc.  

110,000

 

5.000%, 10/15/2025h

    113,498  
  ServiceMaster Company, LLC  

220,000

 

5.125%, 11/15/2024h

    228,250  
  Six Flags Entertainment Corporation  

230,000

 

4.875%, 7/31/2024h

    238,050  
  Viking Cruises, Ltd.  

160,000

 

5.875%, 9/15/2027h

    169,536  
  Visa, Inc.  

65,000

 

2.200%, 12/14/2020

    65,250  
  Volkswagen Group of America Finance, LLC  

62,000

 

4.250%, 11/13/2023h

    66,061  
  Yum! Brands, Inc.  

245,000

 

5.000%, 6/1/2024h

    254,187  

60,000

 

4.750%, 1/15/2030h

    61,875  
 

 

 
  Total     5,933,839  
 

 

 

Consumer Non-Cyclical (1.4%)

 
  Abbott Laboratories  

88,000

 

2.550%, 3/15/2022

    88,915  

46,000

 

3.400%, 11/30/2023

    48,358  
  AbbVie, Inc.  

88,000

 

2.500%, 5/14/2020

    88,201  

44,000

 

2.900%, 11/6/2022

    44,845  
  Albertson’s Companies, LLC  

220,000

 

6.625%, 6/15/2024

    230,450  
  Allergan, Inc.  

35,000

 

2.800%, 3/15/2023

    35,324  
  Altria Group, Inc.  

35,000

 

3.800%, 2/14/2024

    36,591  

35,000

 

4.400%, 2/14/2026

    37,415  
  Anheuser-Busch Companies, LLC  

35,000

 

3.650%, 2/1/2026

    37,501  
  Anheuser-Busch InBev Finance, Inc.  

40,000

 

3.300%, 2/1/2023

    41,582  
  Anheuser-Busch InBev Worldwide, Inc.  

56,000

 

4.150%, 1/23/2025

    61,182  
  Anthem, Inc., Convertible  

10,000

 

2.750%, 10/15/2042

    33,451  
  B&G Foods, Inc.  

80,000

 

5.250%, 9/15/2027

    81,808  
  BAT Capital Corporation  

44,000

 

2.764%, 8/15/2022

    44,417  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

27


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Consumer Non-Cyclical (1.4%) - continued

 

$56,000

 

3.222%, 8/15/2024

    $56,677  
 

Bayer U.S. Finance II, LLC

 

70,000

 

3.500%, 6/25/2021h

    71,400  
 

Becton, Dickinson and Company

 

70,000

 

3.363%, 6/6/2024

    73,019  
 

Boston Scientific Corporation

 

70,000

 

3.450%, 3/1/2024

    73,035  
 

Bunge, Ltd. Finance Corporation

 

65,000

 

3.500%, 11/24/2020

    65,702  
 

Cardtronics, Inc., Convertible

 

284,000

 

1.000%, 12/1/2020

    276,793  
 

Celgene Corporation

 

56,000

 

3.625%, 5/15/2024

    59,141  
 

Centene Corporation

 

220,000

 

4.750%, 1/15/2025

    225,830  
 

Cigna Corporation

 

75,000

 

4.125%, 11/15/2025

    80,759  
 

Conagra Brands, Inc.

 

37,000

 

3.800%, 10/22/2021

    38,183  

37,000

 

4.300%, 5/1/2024

    39,705  
 

Constellation Brands, Inc.

 

70,000

 

4.250%, 5/1/2023

    74,840  
 

CVS Health Corporation

 

44,000

 

2.750%, 12/1/2022

    44,540  

129,000

 

3.700%, 3/9/2023

    134,267  

70,000

 

4.100%, 3/25/2025

    74,746  
 

Energizer Holdings, Inc.

 

200,000

 

6.375%, 7/15/2026h,i

    214,228  
 

Express Scripts Holding Company

 

44,000

 

4.750%, 11/15/2021

    46,239  
 

Forest Laboratories, LLC

 

21,000

 

4.875%, 2/15/2021h

    21,584  
 

General Mills, Inc.

 

35,000

 

3.700%, 10/17/2023

    36,844  

35,000

 

3.650%, 2/15/2024

    36,731  
 

HCA, Inc.

 

320,000

 

5.375%, 2/1/2025

    349,600  
 

Imperial Brands Finance plc

 

34,000

 

3.125%, 7/26/2024h

    34,072  
 

J.M. Smucker Company

 

42,000

 

2.200%, 12/6/2019

    41,985  
 

JBS USA Lux SA

 

240,000

 

5.500%, 1/15/2030h

    254,395  
 

JBS USA, LLC

 

180,000

 

5.750%, 6/15/2025h

    187,528  
 

Kellogg Company

 

78,000

 

3.125%, 5/17/2022

    79,781  
 

Keurig Dr Pepper, Inc.

 

82,000

 

3.551%, 5/25/2021

    83,813  
 

Kroger Company

 

43,000

 

2.800%, 8/1/2022

    43,755  
 

Mead Johnson Nutrition Company

 

65,000

 

3.000%, 11/15/2020

    65,563  
 

Mondelez International Holdings Netherlands BV

 

65,000

 

2.000%, 10/28/2021h

    64,870  
 

Mylan NV

 

41,000

 

3.150%, 6/15/2021

    41,523  
 

Mylan, Inc.

 

34,000

 

4.200%, 11/29/2023

    35,636  
 

Par Pharmaceutical, Inc.

 

110,000

 

7.500%, 4/1/2027h

    100,100  
 

Pernod Ricard SA

 

35,000

 

5.750%, 4/7/2021h

    36,830  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Consumer Non-Cyclical (1.4%) - continued

 
 

Post Holdings, Inc.

 

$100,000

 

5.500%, 3/1/2025h

    $104,750  
 

Reynolds American, Inc.

 

35,000

 

4.850%, 9/15/2023

    37,881  
 

Shire Acquisitions Investments Ireland Designated Activity Company

 

86,000

 

2.400%, 9/23/2021

    86,399  
 

Simmons Foods, Inc.

 

210,000

 

5.750%, 11/1/2024h

    204,750  
 

Smithfield Foods, Inc.

 

66,000

 

2.700%, 1/31/2020h

    65,961  
 

Spectrum Brands, Inc.

 

170,000

 

5.750%, 7/15/2025

    177,393  
 

Teleflex, Inc.

 

180,000

 

4.625%, 11/15/2027

    187,875  
 

Tenet Healthcare Corporation

 

60,000

 

4.625%, 7/15/2024

    61,664  

170,000

 

5.125%, 11/1/2027h

    175,669  
 

Teva Pharmaceutical Finance Netherlands III BV

 

65,000

 

2.200%, 7/21/2021

    59,394  
 

UnitedHealth Group, Inc.

 

65,000

 

3.350%, 7/15/2022

    67,351  
 

Valeant Pharmaceuticals International, Inc.

 

110,000

 

5.875%, 5/15/2023h

    111,375  
 

VRX Escrow Corporation

 

460,000

 

6.125%, 4/15/2025h

    477,250  
 

Zimmer Biomet Holdings, Inc.

 

70,000

 

3.550%, 4/1/2025

    73,502  
 

Zoetis, Inc.

 

65,000

 

3.450%, 11/13/2020

    65,839  

52,000

 

3.250%, 2/1/2023

    53,379  
 

 

 
 

Total

    6,084,186  
 

 

 

Energy (1.3%)

 
 

Alliance Resource Operating Partners, LP

 

170,000

 

7.500%, 5/1/2025h

    167,875  
 

Antero Resources Corporation

 

200,000

 

5.125%, 12/1/2022

    175,500  
 

BP Capital Markets America, Inc.

 

172,000

 

2.520%, 9/19/2022

    174,075  
 

BP Capital Markets plc

 

44,000

 

2.315%, 2/13/2020

    44,047  
 

Canadian Natural Resources, Ltd.

 

43,000

 

2.950%, 1/15/2023

    43,784  
 

Canadian Oil Sands, Ltd.

 

43,000

 

9.400%, 9/1/2021h

    48,001  
 

Cheniere Corpus Christi Holdings, LLC

 

170,000

 

7.000%, 6/30/2024

    195,288  
 

Cheniere Energy Partners, LP

 

235,000

 

5.625%, 10/1/2026

    249,370  
 

Chesapeake Energy Corporation

 

220,000

 

7.000%, 10/1/2024

    157,850  
 

Continental Resources, Inc.

 

23,000

 

5.000%, 9/15/2022

    23,203  
 

Diamondback Energy, Inc.

 

220,000

 

4.750%, 11/1/2024

    225,225  
 

Enbridge, Inc.

 

42,000

 

2.900%, 7/15/2022

    42,797  

267,000

 

6.250%, 3/1/2078b

    282,989  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

28


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Energy (1.3%) - continued

 
 

Energy Transfer Operating, LP

 

$41,000

 

4.200%, 9/15/2023

    $43,134  

70,000

 

5.875%, 1/15/2024

    77,829  

80,000

 

6.625%, 2/15/2028b,k

    75,600  
 

EnLink Midstream Partners, LP

 

220,000

 

4.850%, 7/15/2026

    209,000  
 

Enterprise Products Operating, LLC

 

200,000

 

4.875%, 8/16/2077b

    193,250  
 

EOG Resources, Inc.

 

65,000

 

2.625%, 3/15/2023

    66,258  
 

EQM Midstream Partners LP

 

56,000

 

4.750%, 7/15/2023

    56,211  
 

Hess Corporation

 

41,000

 

3.500%, 7/15/2024

    41,846  
 

Kinder Morgan Energy Partners, LP

 

88,000

 

3.450%, 2/15/2023

    90,761  
 

Marathon Oil Corporation

 

44,000

 

2.700%, 6/1/2020

    44,086  
 

Marathon Petroleum Corporation

 

35,000

 

4.750%, 12/15/2023

    37,986  
 

MPLX, LP

 

66,000

 

4.500%, 7/15/2023

    70,315  
 

Nabors Industries, Inc.

 

120,000

 

5.750%, 2/1/2025

    88,800  
 

Newfield Exploration Company

 

35,000

 

5.625%, 7/1/2024

    38,614  
 

Noble Energy, Inc.

 

52,000

 

3.900%, 11/15/2024

    54,518  
 

Occidental Petroleum Corporation

 

14,000

 

4.850%, 3/15/2021

    14,476  

71,000

 

2.700%, 8/15/2022

    71,621  

53,000

 

2.900%, 8/15/2024

    53,402  
 

Parsley Energy, LLC

 

170,000

 

5.625%, 10/15/2027h

    175,525  
 

Plains All American Pipeline, LP

 

94,000

 

5.000%, 2/1/2021

    96,432  

169,000

 

6.125%, 11/15/2022b,k

    159,191  

13,000

 

2.850%, 1/31/2023

    13,001  
 

Precision Drilling Corporation

 

130,000

 

7.125%, 1/15/2026h

    120,250  
 

Sabine Pass Liquefaction, LLC

 

43,000

 

6.250%, 3/15/2022

    46,332  

43,000

 

5.625%, 4/15/2023

    46,726  
 

Southwestern Energy Company

 

185,000

 

7.500%, 4/1/2026

    160,950  
 

Sunoco Logistics Partners Operations, LP

 

65,000

 

4.400%, 4/1/2021

    66,766  
 

Sunoco, LP

 

110,000

 

5.500%, 2/15/2026

    114,804  

100,000

 

5.875%, 3/15/2028

    106,125  
 

Tallgrass Energy Partners, LP

 

355,000

 

5.500%, 1/15/2028h

    346,977  
 

Transocean Guardian, Ltd.

 

178,000

 

5.875%, 1/15/2024h

    178,890  
 

W&T Offshore, Inc.

 

190,000

 

9.750%, 11/1/2023h

    181,378  
 

Western Gas Partners, LP

 

44,000

 

4.000%, 7/1/2022

    44,533  
 

Williams Partners, LP

 

88,000

 

4.000%, 11/15/2021

    90,454  
 

WPX Energy, Inc.

 

130,000

 

5.750%, 6/1/2026

    133,250  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Energy (1.3%) - continued

 

$70,000

 

5.250%, 10/15/2027

    $70,525  
 

 

 
 

Total

    5,309,820  
 

 

 

Financials (4.1%)

 
 

ACE INA Holdings, Inc.

 

65,000

 

2.875%, 11/3/2022

    66,630  
 

AIG Global Funding

 

86,000

 

2.150%, 7/2/2020h

    86,073  
 

Air Lease Corporation

 

83,000

 

2.500%, 3/1/2021

    83,242  
 

Aircastle, Ltd.

 

51,000

 

5.000%, 4/1/2023

    54,621  
 

Ally Financial, Inc.

 

210,000

 

5.750%, 11/20/2025

    235,204  
 

American Express Company

 

40,000

 

3.375%, 5/17/2021

    40,800  

34,000

 

3.700%, 8/3/2023

    35,824  

35,000

 

3.400%, 2/22/2024

    36,608  
 

Ares Capital Corporation

 

86,000

 

3.875%, 1/15/2020

    86,229  
 

Ares Capital Corporation, Convertible

 

294,000

 

4.625%, 3/1/2024

    309,215  
 

Athene Global Funding

 

60,000

 

4.000%, 1/25/2022h

    62,269  
 

Australia and New Zealand Banking Group, Ltd.

 

130,000

 

6.750%, 6/15/2026b,h,k

    143,975  
 

Avolon Holdings Funding, Ltd.

 

18,000

 

5.250%, 5/15/2024h

    19,273  
 

BAC Capital Trust XIV

 

92,000

 

4.000%, (LIBOR 3M + 0.400%), 10/17/2019b,k

    80,454  
 

Bank of America Corporation

 

84,000

 

2.738%, 1/23/2022b

    84,486  

82,000

 

3.499%, 5/17/2022b

    83,624  

115,000

 

3.550%, 3/5/2024b

    119,595  

164,000

 

5.125%, 6/20/2024b,k

    169,945  

143,000

 

3.864%, 7/23/2024b

    150,607  

70,000

 

4.200%, 8/26/2024

    75,085  

276,000

 

6.250%, 9/5/2024b,k

    300,288  

35,000

 

3.458%, 3/15/2025b

    36,518  
 

Bank of Montreal

 

105,000

 

3.300%, 2/5/2024

    109,273  
 

Bank of New York Mellon Corporation

 

88,000

 

2.600%, 2/7/2022

    89,215  
 

Bank of Nova Scotia

 

41,000

 

2.718%, (LIBOR 3M + 0.440%), 4/20/2021b

    41,155  

64,000

 

2.700%, 3/7/2022

    65,119  

72,000

 

2.375%, 1/18/2023

    72,630  
 

Barclays plc

 

200,000

 

7.750%, 9/15/2023b,k

    208,134  

62,000

 

4.338%, 5/16/2024b

    64,770  
 

BB&T Corporation

 

86,000

 

2.150%, 2/1/2021

    86,139  

34,000

 

2.500%, 8/1/2024

    34,274  

112,000

 

4.800%, 9/1/2024b,k

    111,999  
 

Blackstone Mortgage Trust, Inc., Convertible

 

65,000

 

4.375%, 5/5/2022

    67,681  
 

BNP Paribas SA

 

300,000

 

7.625%, 3/30/2021b,h,k

    316,125  
 

BPCE SA

 

35,000

 

3.000%, 5/22/2022h

    35,516  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

29


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Financials (4.1%) - continued

 
 

Camden Property Trust

 

$35,000

 

4.875%, 6/15/2023

    $38,057  
 

Capital One Bank USA NA

 

52,000

 

3.375%, 2/15/2023

    53,589  
 

Capital One Financial Corporation

 

129,000

 

3.050%, 3/9/2022

    131,572  
 

Central Fidelity Capital Trust I

 

135,000

 

3.303%, (LIBOR 3M + 1.000%), 4/15/2027b

    125,550  
 

CIT Bank NA

 

32,000

 

2.969%, 9/27/2025b

    32,040  
 

CIT Group, Inc.

 

185,000

 

4.750%, 2/16/2024

    195,638  
 

Citigroup, Inc.

 

88,000

 

2.650%, 10/26/2020

    88,537  

104,000

 

2.350%, 8/2/2021

    104,476  

43,000

 

2.750%, 4/25/2022

    43,641  

43,000

 

2.946%, (LIBOR 3M + 0.690%), 10/27/2022b

    43,055  

83,000

 

3.142%, 1/24/2023b

    84,538  

184,000

 

5.000%, 9/12/2024b,k

    186,245  

105,000

 

3.352%, 4/24/2025b

    108,894  

92,000

 

5.950%, 5/15/2025b,k

    97,407  
 

CNA Financial Corporation

 

35,000

 

5.750%, 8/15/2021

    37,173  

40,000

 

3.950%, 5/15/2024

    42,932  
 

Commonwealth Bank of Australia

 

86,000

 

2.250%, 3/10/2020h

    86,078  
 

Cooperatieve Centrale Raiffeisen- Boerenleenbank BA

 

86,000

 

3.950%, 11/9/2022

    89,576  
 

Credit Agricole SA

 

43,000

 

3.375%, 1/10/2022h

    43,961  

122,700

 

8.125%, 12/23/2025b,h,k

    144,326  
 

Credit Suisse Group AG

 

138,000

 

7.500%, 12/11/2023b,h,k

    152,490  

34,000

 

2.593%, 9/11/2025b,h

    33,680  

200,000

 

6.375%, 8/21/2026b,h,k

    207,000  
 

Credit Suisse Group Funding (Guernsey), Ltd.

 

132,000

 

3.800%, 9/15/2022

    137,144  
 

Danske Bank AS

 

61,000

 

5.000%, 1/12/2022h

    64,134  
 

Deutsche Bank AG

 

43,000

 

2.700%, 7/13/2020

    42,912  

129,000

 

4.250%, 10/14/2021

    130,861  
 

Digital Realty Trust, LP

 

65,000

 

2.750%, 2/1/2023

    65,660  
 

Discover Bank

 

28,000

 

8.700%, 11/18/2019

    28,217  

51,000

 

2.450%, 9/12/2024

    50,862  
 

Discover Bank of Greenwood Delaware

 

35,000

 

4.200%, 8/8/2023

    37,206  
 

Fidelity National Financial, Inc.

 

57,000

 

5.500%, 9/1/2022

    61,171  
 

Fifth Third Bancorp

 

65,000

 

2.600%, 6/15/2022

    65,698  

35,000

 

3.650%, 1/25/2024

    36,898  
 

FTI Consulting, Inc., Convertible

 

253,000

 

2.000%, 8/15/2023

    307,929  
 

GE Capital International Funding Company

 

147,000

 

3.373%, 11/15/2025

    149,987  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Financials (4.1%) - continued

 
 

General Electric Capital Corporation

 

$35,000

 

3.100%, 1/9/2023

    $35,465  
 

Goldman Sachs Group, Inc.

 

86,000

 

5.375%, 5/10/2020b,k

    86,645  

88,000

 

5.250%, 7/27/2021

    92,726  

65,000

 

3.328%, (LIBOR 3M + 1.170%), 11/15/2021b

    65,498  

88,000

 

3.000%, 4/26/2022

    88,978  

59,000

 

2.876%, 10/31/2022b

    59,683  

43,000

 

3.177%, (LIBOR 3M + 1.050%), 6/5/2023b

    43,258  

70,000

 

3.625%, 2/20/2024

    73,436  

206,000

 

5.500%, 8/10/2024b,i,k

    216,300  
 

GS Finance Corporation, Convertible

 

891,000

 

0.500%, 6/23/2025c

    913,453  
 

Hannon Armstrong Sustainable Infrastructure Capital, Convertible

 

61,000

 

4.125%, 9/1/2022

    68,091  
 

Hartford Financial Services Group, Inc.

 

66,000

 

4.283%, (LIBOR 3M + 2.125%), 2/12/2047b,h

    56,120  
 

Hospitality Properties Trust

 

60,000

 

4.250%, 2/15/2021

    60,814  
 

HSBC Holdings plc

 

128,000

 

3.400%, 3/8/2021

    129,958  

88,000

 

6.875%, 6/1/2021b,k

    92,312  

88,000

 

6.375%, 9/17/2024b,k

    92,345  
 

Huntington Bancshares, Inc.

 

80,000

 

3.150%, 3/14/2021

    81,074  
 

Icahn Enterprises, LP

 

75,000

 

6.750%, 2/1/2024

    78,000  

90,000

 

6.375%, 12/15/2025

    94,636  
 

ILFC E-Capital Trust II

 

138,000

 

4.020%, (H15T30Y + 1.800%), 12/21/2065b,h

    96,200  
 

ING Groep NV

 

150,000

 

6.000%, 4/16/2020b,k

    151,365  

70,000

 

4.100%, 10/2/2023

    74,312  
 

International Lease Finance Corporation

 

88,000

 

4.625%, 4/15/2021

    90,617  

88,000

 

5.875%, 8/15/2022

    96,417  
 

Iron Mountain, Inc.

 

122,936

 

6.000%, 8/15/2023

    125,837  
 

iStar, Inc., Convertible

 

81,000

 

3.125%, 9/15/2022

    85,777  
 

J.P. Morgan Chase & Company

 

65,000

 

2.818%, (LIBOR 3M + 0.680%), 6/1/2021b

    65,104  

99,000

 

2.776%, 4/25/2023b

    100,421  

70,000

 

3.375%, 5/1/2023

    72,419  

108,000

 

5.150%, 5/1/2023b,k

    111,105  

89,000

 

3.513%, (LIBOR 3M + 1.230%), 10/24/2023b

    90,411  

296,000

 

5.000%, 8/1/2024b,k

    304,140  

70,000

 

3.875%, 9/10/2024

    74,578  

145,000

 

4.023%, 12/5/2024b

    154,675  
 

Liberty Mutual Group, Inc.

 

35,000

 

5.000%, 6/1/2021h

    36,321  
 

Lincoln National Corporation

 

55,000

 

6.250%, 2/15/2020

    55,761  

50,000

 

4.481%, (LIBOR 3M + 2.358%), 5/17/2066b

    40,516  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

30


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Financials (4.1%) - continued

 
 

Lloyds Banking Group plc

 

$51,000

 

2.858%, 3/17/2023b

    $51,165  

65,000

 

3.900%, 3/12/2024

    68,025  

156,000

 

6.657%, 5/21/2037b,h,k

    166,530  
 

Macquarie Bank, Ltd.

 

178,000

 

6.125%, 3/8/2027b,h,k

    179,113  
 

Marsh & McLennan Companies, Inc.

 

56,000

 

3.875%, 3/15/2024

    59,698  
 

MGIC Investment Corporation, Convertible

 

459,000

 

9.000%, 4/1/2063h

    613,626  
 

Mitsubishi UFJ Financial Group, Inc.

 

44,000

 

2.998%, 2/22/2022

    44,767  

53,000

 

2.623%, 7/18/2022

    53,426  

83,000

 

3.455%, 3/2/2023

    85,906  

35,000

 

3.407%, 3/7/2024

    36,418  
 

Mizuho Financial Group, Inc.

 

53,000

 

2.721%, 7/16/2023b

    53,440  
 

Morgan Stanley

 

88,000

 

2.800%, 6/16/2020

    88,444  

86,000

 

5.500%, 7/28/2021

    91,226  

43,000

 

2.750%, 5/19/2022

    43,619  

10,000

 

4.875%, 11/1/2022

    10,723  

84,000

 

3.125%, 1/23/2023

    86,168  

34,000

 

2.720%, 7/22/2025b

    34,392  
 

MPT Operating Partnership, LP

 

100,000

 

5.500%, 5/1/2024

    102,625  

130,000

 

4.625%, 8/1/2029

    133,900  
 

Nordea Bank Abp

 

200,000

 

6.625%, 3/26/2026b,h,k

    215,250  
 

Park Aerospace Holdings, Ltd.

 

17,000

 

4.500%, 3/15/2023h

    17,592  
 

PNC Bank NA

 

86,000

 

2.450%, 11/5/2020

    86,384  
 

PNC Financial Services Group, Inc.

 

35,000

 

3.500%, 1/23/2024

    36,980  
 

Preferred Term Securities XXIII, Ltd.

 

140,656

 

2.319%, (LIBOR 3M + 0.200%), 12/22/2036b,h

    128,466  
 

Quicken Loans, Inc.

 

295,000

 

5.750%, 5/1/2025h

    304,219  
 

Realty Income Corporation

 

64,000

 

5.750%, 1/15/2021

    66,374  
 

Regions Financial Corporation

 

55,000

 

3.200%, 2/8/2021

    55,677  

41,000

 

3.800%, 8/14/2023

    43,251  
 

Reinsurance Group of America, Inc.

 

64,000

 

4.700%, 9/15/2023

    69,161  
 

Royal Bank of Canada

 

87,000

 

2.125%, 3/2/2020

    87,059  
 

Royal Bank of Scotland Group plc

 

208,000

 

8.625%, 8/15/2021b,k

    222,737  

35,000

 

6.125%, 12/15/2022

    37,871  

35,000

 

6.100%, 6/10/2023

    38,122  

185,000

 

5.125%, 5/28/2024

    197,213  

88,000

 

4.269%, 3/22/2025b

    92,035  
 

Santander Holdings USA, Inc.

 

56,000

 

4.450%, 12/3/2021

    58,488  
 

Santander UK Group Holdings plc

 

86,000

 

2.875%, 8/5/2021

    86,307  
 

Simon Property Group, LP

 

90,000

 

2.500%, 7/15/2021

    90,699  

34,000

 

2.000%, 9/13/2024

    33,652  
 

SITE Centers Corporation

 

20,000

 

4.625%, 7/15/2022

    20,906  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Financials (4.1%) - continued

 
 

Societe Generale SA

 

$265,000

 

8.000%, 9/29/2025b,h,k

    $298,456  
 

Standard Chartered plc

 

52,000

 

2.744%, 9/10/2022b,h

    52,054  
 

State Street Capital Trust IV

 

482,000

 

3.119%, (LIBOR 3M + 1.000%), 6/15/2047b

    369,892  
 

Sumitomo Mitsui Financial Group, Inc.

 

43,000

 

2.784%, 7/12/2022

    43,640  

136,000

 

2.778%, 10/18/2022

    138,049  

39,000

 

2.448%, 9/27/2024

    38,974  
 

SunTrust Banks, Inc.

 

55,000

 

2.900%, 3/3/2021

    55,572  
 

Synchrony Financial

 

30,000

 

3.517%, (LIBOR 3M + 1.230%), 2/3/2020b

    30,064  

34,000

 

2.850%, 7/25/2022

    34,300  

38,000

 

4.250%, 8/15/2024

    40,093  
 

Toronto-Dominion Bank

 

51,000

 

2.550%, 1/25/2021

    51,385  

35,000

 

3.250%, 3/11/2024

    36,608  
 

UBS Group Funding Jersey, Ltd.

 

86,000

 

3.000%, 4/15/2021h

    87,030  
 

USB Realty Corporation

 

436,000

 

3.450%, (LIBOR 3M + 1.147%), 1/15/2022b,h,k

    372,780  
 

Ventas Realty, LP

 

41,000

 

3.100%, 1/15/2023

    42,059  

35,000

 

3.750%, 5/1/2024

    36,918  
 

Wachovia Capital Trust II

 

50,000

 

2.803%, (LIBOR 3M + 0.500%), 1/15/2027b

    46,250  
 

Wells Fargo & Company

 

50,000

 

2.100%, 7/26/2021

    49,985  

43,000

 

2.625%, 7/22/2022

    43,478  

124,000

 

3.393%, (LIBOR 3M + 1.110%), 1/24/2023b

    125,361  

70,000

 

4.125%, 8/15/2023

    74,274  

60,000

 

3.486%, (LIBOR 3M + 1.230%), 10/31/2023b

    60,906  

38,000

 

3.750%, 1/24/2024

    40,244  
 

 

 
 

Total

    17,426,523  
 

 

 

Mortgage-Backed Securities (4.2%)

 
 

Federal Home Loan Mortgage Corporation

 

1,044,688

 

3.500%, 8/15/2035, Ser. 345, Class C8l

    109,845  
 

Federal Home Loan Mortgage Corporation Gold 30-Yr. Pass Through

 

298

 

9.000%, 4/1/2025

    325  

2,113

 

8.000%, 6/1/2027

    2,339  

1,035

 

8.000%, 8/1/2030

    1,216  
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

1,400,000

 

2.500%, 10/1/2034e

    1,412,059  

2,000,000

 

3.500%, 10/1/2034e

    2,068,594  

3,860,000

 

3.000%, 10/1/2034e

    3,946,096  
 

Federal National Mortgage Association Conventional 30-Yr. Pass Through

 

384

 

8.000%, 11/1/2026

    422  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

31


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Mortgage-Backed Securities (4.2%) - continued

 

$2,946

 

8.500%, 4/1/2030

    $3,564  

3,880,000

 

3.500%, 10/1/2049e

    3,980,789  

6,243,000

 

3.000%, 10/1/2049e

    6,338,108  
 

Government National Mortgage Association 30-Yr. Pass Through

 

553

 

9.000%, 12/15/2026

    621  
 

 

 
 

Total

    17,863,978  
 

 

 

Technology (1.4%)

 
 

Akamai Technologies, Inc., Convertible

 

321,000

 

0.375%, 9/1/2027h

    327,227  
 

Apple, Inc.

 

86,000

 

2.400%, 1/13/2023

    87,405  

122,000

 

3.450%, 5/6/2024

    129,898  
 

Baidu, Inc.

 

43,000

 

3.000%, 6/30/2020

    43,148  
 

Booking Holdings, Inc., Convertible

 

177,000

 

0.350%, 6/15/2020

    264,559  
 

Broadcom Corporation

 

86,000

 

2.650%, 1/15/2023

    85,920  
 

CommScope Technologies Finance, LLC

 

210,000

 

6.000%, 6/15/2025h

    189,525  
 

Cypress Semiconductor Corporation, Convertible

 

126,000

 

4.500%, 1/15/2022

    219,697  
 

Dell International, LLC/EMC Corporation

 

52,000

 

4.000%, 7/15/2024h

    54,391  
 

Diamond 1 Finance Corporation

 

122,000

 

5.450%, 6/15/2023h

    132,849  
 

Diamond Sports Group, LLC

 

230,000

 

6.625%, 8/15/2027h,i

    238,292  
 

Equinix, Inc.

 

200,000

 

5.750%, 1/1/2025

    208,260  
 

Fiserv, Inc.

 

75,000

 

2.750%, 7/1/2024

    76,283  
 

Global Payments, Inc.

 

17,000

 

2.650%, 2/15/2025

    17,072  
 

Harland Clarke Holdings Corporation

 

95,000

 

8.375%, 8/15/2022h

    77,900  
 

Hewlett Packard Enterprise Company

 

111,000

 

3.600%, 10/15/2020

    112,428  

33,000

 

2.250%, 4/1/2023

    32,904  
 

Inception Merger Sub, Inc.

 

180,000

 

8.625%, 11/15/2024h,i

    165,582  
 

Intel Corporation

 

65,000

 

3.100%, 7/29/2022

    67,274  
 

Intel Corporation, Convertible

 

242,000

 

3.250%, 8/1/2039

    614,675  
 

j2 Global, Inc., Convertible

 

208,000

 

3.250%, 6/15/2029

    294,909  
 

Marvell Technology Group, Ltd.

 

41,000

 

4.200%, 6/22/2023

    42,977  
 

Microchip Technology, Inc., Convertible

 

119,000

 

1.625%, 2/15/2027

    153,190  
 

Microsoft Corporation

 

88,000

 

2.400%, 2/6/2022

    89,231  
 

NCR Corporation

 

150,000

 

6.125%, 9/1/2029h

    158,108  
 

Nuance Communications, Inc., Convertible

 

681,000

 

1.250%, 4/1/2025

    667,380  
Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Technology (1.4%) - continued

 
 

NXP BV/NXP Funding, LLC

 

$52,000

 

4.875%, 3/1/2024h

    $56,391  
 

Okta, Inc., Convertible

 

295,000

 

0.125%, 9/1/2025h

    267,095  
 

ON Semiconductor Corporation, Convertible

 

57,000

 

1.000%, 12/1/2020

    66,534  

266,000

 

1.625%, 10/15/2023

    319,851  
 

Oracle Corporation

 

65,000

 

2.500%, 5/15/2022

    65,822  
 

Panasonic Corporation

 

53,000

 

2.536%, 7/19/2022h

    53,323  
 

Plantronics, Inc.

 

170,000

 

5.500%, 5/31/2023h

    170,425  
 

Seagate HDD Cayman

 

19,000

 

4.250%, 3/1/2022

    19,573  
 

SS&C Technologies, Inc.

 

170,000

 

5.500%, 9/30/2027h

    177,654  
 

Verint Systems, Inc., Convertible

 

159,000

 

1.500%, 6/1/2021

    159,866  
 

 

 
 

Total

    5,907,618  
 

 

 

Transportation (0.2%)

 
 

Air Canada Pass Through Trust

 

17,526

 

3.875%, 3/15/2023h

    17,759  
 

Boeing Company

 

70,000

 

3.100%, 5/1/2026

    73,446  
 

CSX Corporation

 

35,000

 

3.700%, 11/1/2023

    37,016  
 

Delta Air Lines, Inc.

 

64,000

 

2.875%, 3/13/2020

    64,137  
 

Hertz Corporation

 

120,000

 

5.500%, 10/15/2024h

    120,180  
 

J.B. Hunt Transport Services, Inc.

 

65,000

 

3.300%, 8/15/2022

    66,482  
 

Penske Truck Leasing Company, LP

 

35,000

 

3.375%, 2/1/2022h

    35,722  
 

Ryder System, Inc.

 

75,000

 

3.500%, 6/1/2021

    76,622  
 

Union Pacific Corporation

 

62,000

 

3.750%, 7/15/2025

    66,783  
 

United Airlines Pass Through Trust

 

65,000

 

3.700%, 12/1/2022

    66,794  
 

United Continental Holdings, Inc.

 

230,000

 

4.875%, 1/15/2025

    241,983  
 

XPO Logistics, Inc.

 

150,000

 

6.750%, 8/15/2024h

    162,375  
 

 

 
 

Total

    1,029,299  
 

 

 

Utilities (0.7%)

 

 

Alabama Power Company

 

44,000

 

2.450%, 3/30/2022

    44,524  
 

Ameren Corporation

 

65,000

 

2.700%, 11/15/2020

    65,339  

34,000

 

2.500%, 9/15/2024

    34,173  
 

Berkshire Hathaway Energy Company

 

96,000

 

2.400%, 2/1/2020

    96,071  
 

Calpine Corporation

 

95,000

 

5.375%, 1/15/2023

    96,187  

110,000

 

5.875%, 1/15/2024h

    112,475  
 

CenterPoint Energy, Inc.

 

43,000

 

2.500%, 9/1/2022

    43,298  

34,000

 

2.500%, 9/1/2024

    33,956  
 

Consolidated Edison, Inc.

 

44,000

 

2.000%, 3/15/2020

    43,976  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

32


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (24.9%)   Value

 

 

Utilities (0.7%) - continued

 
 

Dominion Energy, Inc.

 

$35,000

 

2.715%, 8/15/2021

    $35,228  

35,000

 

3.071%, 8/15/2024

    35,817  
 

DTE Energy Company

 

56,000

 

3.300%, 6/15/2022

    57,389  

53,000

 

2.529%, 10/1/2024

    53,164  
 

Duke Energy Corporation

 

86,000

 

2.400%, 8/15/2022

    86,870  

138,000

 

4.875%, 9/16/2024b,k

    141,174  
 

Edison International

 

109,000

 

2.950%, 3/15/2023

    109,234  
 

Evergy, Inc.

 

34,000

 

2.450%, 9/15/2024

    33,941  
 

Eversource Energy

 

43,000

 

2.500%, 3/15/2021

    43,135  
 

Exelon Generation Company, LLC

 

52,000

 

5.200%, 10/1/2019

    52,000  

65,000

 

2.950%, 1/15/2020

    65,089  
 

FirstEnergy Corporation

 

66,000

 

2.850%, 7/15/2022

    67,005  
 

Fortis, Inc.

 

60,000

 

2.100%, 10/4/2021

    59,800  
 

Georgia Power Company

 

34,000

 

2.200%, 9/15/2024

    33,605  
 

NextEra Energy Operating Partners, LP

 

220,000

 

3.875%, 10/15/2026h

    220,000  
 

NiSource, Inc.

 

56,000

 

3.650%, 6/15/2023

    58,466  

213,000

 

5.650%, 6/15/2023b,k

    214,065  
 

NRG Energy, Inc., Convertible

 

125,000

 

2.750%, 6/1/2048

    140,482  
 

Oncor Electric Delivery Company, LLC

 

52,000

 

2.750%, 6/1/2024h

    53,398  
 

Pinnacle West Capital Corporation

 

42,000

 

2.250%, 11/30/2020

    41,971  
 

PPL Capital Funding, Inc.

 

70,000

 

3.950%, 3/15/2024

    73,896  
 

PSEG Power, LLC

 

55,000

 

3.000%, 6/15/2021

    55,559  
 

Public Service Enterprise Group, Inc.

 

35,000

 

2.875%, 6/15/2024

    35,917  
 

Sempra Energy

 

25,000

 

2.400%, 3/15/2020

    25,011  
 

Southern Company

 

43,000

 

2.350%, 7/1/2021

    43,129  
 

TerraForm Power Operating, LLC

 

190,000

 

5.000%, 1/31/2028h

    197,600  
 

TransCanada Trust

 

350,000

 

5.875%, 8/15/2076b

    370,251  
 

 

 
 

Total

    2,973,195  
 

 

 
 

    

 
 

 

 
 

Total Long-Term Fixed Income

(cost $104,634,265)

    105,948,499  
 

 

 
Shares   Registered Investment Companies (8.7%)   Value

 

 

Unaffiliated (1.8%)

 

13,850  

AllianzGI NFJ Dividend Interest & Premium Strategy Fund

    169,247  

18,221

 

BlackRock Resources & Commodities Strategy Trust

    136,293  

1,990

 

Consumer Discretionary Select Sector SPDR Fund

    240,193  

17,500

 

Invesco Senior Loan ETF

    395,325  
Shares   Registered Investment Companies (8.7%)   Value

 

 

Unaffiliated (1.8%) - continued

 

28,200

 

Invesco Variable Rate Preferred ETF

    $716,844  

5,435

 

iShares iBoxx $ High Yield Corporate Bond ETFi

    473,769  

2,382

 

iShares Russell 2000 Value Index Fund

    284,435  

49,000

 

iShares S&P U.S. Preferred Stock Index Fund

    1,838,970  

3,590

 

Materials Select Sector SPDR Fund

    208,938  

39,971

 

MFS Intermediate Income Trust

    152,689  

1,100

 

SPDR Bloomberg Barclays High Yield Bond ETF

    119,614  

4,597

 

SPDR S&P Metals & Mining ETF

    116,994  

2,187

 

SPDR S&P Retail ETF

    92,794  

42,782

 

Templeton Global Income Fund

    262,681  

10,463

 

VanEck Vectors Oil Services ETF

    122,940  

15,303

 

Vanguard Real Estate ETF

    1,427,005  

8,050

 

Vanguard Short-Term Corporate Bond ETF

    652,453  

54,379

 

Western Asset High Income Opportunity Fund, Inc.

    274,614  
 

 

 
 

Total

    7,685,798  
 

 

 

Affiliated (6.9%)

 

2,979,427

 

Thrivent Core Emerging Markets Debt Fund

    29,228,184  
 

 

 
 

Total

    29,228,184  
 

 

 

    

   
 

 

 
 

Total Registered Investment

Companies (cost $36,497,311)

    36,913,982  
 

 

 
Shares   Preferred Stock (1.4%)   Value

 

 

Communications Services (0.1%)

 

385

 

Crown Castle International Corporation, Convertible, 6.875%

    486,659  
 

 

 
 

Total

    486,659  
 

 

 

Consumer Staples (0.1%)

 

12,800

 

CHS, Inc., 7.100%b,k

    340,608  
 

 

 
 

Total

    340,608  
 

 

 

Energy (0.2%)

 

45,708

 

Crestwood Equity Partners, LP, 9.250%k

    422,113  

1,600

 

Energy Transfer Operating, LP, 7.600%b,k

    40,544  

7,136

 

Nustar Logistics, LP, 9.037%b

    184,751  
 

 

 
 

Total

    647,408  
 

 

 

Financials (0.7%)

 

3,174

 

Agribank FCB, 6.875%b,k

    339,618  

5,700

 

Allstate Corporation, 5.100%k

    149,682  

5,000

 

Bank of America Corporation, 5.000%k

    128,300  

120

 

Bank of America Corporation, Convertible, 7.250%k

    179,905  

5,525

 

Capital One Financial Corporation, 5.000%g,k

    137,959  

2,485

 

Cobank ACB, 6.250%b,k

    260,925  

6,957

 

Federal National Mortgage Association, 0.000%g,i,k

    92,876  

380

 

First Tennessee Bank NA, 3.750%b,h,k

    277,400  

7,800

 

GMAC Capital Trust I, 7.943%b

    204,438  

3,700

 

Hartford Financial Services Group, Inc., 7.875%b

    107,892  

6,200

 

Morgan Stanley, 7.125%b,k

    177,940  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

33


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Preferred Stock (1.4%)    Value  

Financials (0.7%) - continued

  

4,000

  

Regions Financial Corporation,
5.700%b,k

     $113,160  

775

  

Synovus Financial Corporation,
5.875%b,k

     20,677  

540

  

Wells Fargo & Company, Convertible, 7.500%k

     822,145  
  

 

 
   Total      3,012,917  
  

 

 

Health Care (0.1%)

  

440

  

Danaher Corporation, Convertible, 4.750%i

     499,123  
  

 

 
   Total      499,123  
  

 

 

Industrials (<0.1%)

  

111

  

Fortive Corporation, Convertible, 5.000%

     100,136  
  

 

 
   Total      100,136  
  

 

 

Real Estate (<0.1%)

  

1,706

  

Colony Capital, Inc., 8.750%k

     43,145  
  

 

 
   Total
     43,145  
  

 

 

Utilities (0.2%)

  

142

  

Sempra Energy, Convertible, 6.000%

     16,785  

12,830

  

Southern Company, Convertible,
6.750%g

     686,533  
  

 

 
   Total      703,318  
  

 

 
     
  

 

 
   Total Preferred Stock
(cost $5,460,301)
     5,833,314  
  

 

 
Shares    Collateral Held for Securities Loaned
(0.9%)
   Value  

3,615,081

  

Thrivent Cash Management Trust

     3,615,081  
  

 

 
  

Total Collateral Held for Securities Loaned

(cost $3,615,081)

     3,615,081  
  

 

 

Shares or

Principal

Amount

   Short-Term Investments (7.4%)    Value  
  

Federal Home Loan Bank Discount Notes

  

200,000

  

2.120%, 10/2/2019n,o

     199,989  

400,000

  

1.950%, 10/16/2019n,o

     399,686  

300,000

  

1.995%, 10/30/2019n,o

     299,546  

400,000

  

1.980%, 11/5/2019n,o

     399,269  

700,000

  

1.970%, 11/19/2019n,o

     698,209  
  

Thrivent Core Short-Term Reserve Fund

  

2,964,487

  

2.230%

     29,644,867  
  

 

 
   Total Short-Term Investments
(cost $31,641,401)
     31,641,566  
  

 

 
   Total Investments
(cost $430,734,832) 105.6%
     $449,043,271  
  

 

 
   Other Assets and Liabilities, Net (5.6%)      (23,884,634
  

 

 
   Total Net Assets 100.0%      $425,158,637  
  

 

 

 

a

The stated interest rate represents the weighted average of all contracts within the bank loan facility.

b

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

c

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

d

All or a portion of the loan is unfunded.

e

Denotes investments purchased on a when-issued or delayed delivery basis.

f

In bankruptcy. Interest is not being accrued.

g

Non-income producing security.

h

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $41,375,634 or 9.7% of total net assets.

i

All or a portion of the security is on loan.

j

Denotes step coupon securities. Step coupon securities pay an initial coupon rate for the first period and then different coupon rates for following periods. The rate shown is as of September 30, 2019.

k

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

l

Denotes interest only security. Interest only securities represent the right to receive monthly interest payments on an underlying pool of mortgages or assets. The principal shown is the outstanding par amount of the pool as of the end of the period. The actual effective yield of the security is different than the stated coupon rate.

m

All or a portion of the security is insured or guaranteed.

n

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

o

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Balanced Income Plus Portfolio as of September 30, 2019:

Securities Lending Transactions

Common Stock

     $2,763,502  

Long-Term Fixed Income

     753,628  

Total lending

     $3,517,130  
Gross amount payable upon return of collateral for securities loaned      $3,615,081  

Net amounts due to counterparty

     $97,951  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

34


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Definitions:
ADR   -    American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
CLO   -    Collateralized Loan Obligation
ETF   -    Exchange Traded Fund
GDR   -    Global Depository Receipts, which are certificates for shares of an underlying foreign security’s shares held by an issuing depository bank from more than one country.
REMIC   -    Real Estate Mortgage Investment Conduit
REIT   -    Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Ser.   -    Series
SPDR   -    S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.

 

Reference Rate Index:
12 MTA   -    12 Month Treasury Average
H15T30Y      U. S. Treasury Yield Curve Rate Treasury
    -   

Note Constant Maturity 30 Year

LIBOR 1W   -    ICE Libor USD Rate 1 Week
LIBOR 1M   -    ICE Libor USD Rate 1 Month
LIBOR 2M   -    ICE Libor USD Rate 2 Month
LIBOR 3M   -    ICE Libor USD Rate 3 Month
PRIME   -    Federal Reserve Prime Loan Rate

    

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

35


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Balanced Income Plus Portfolio’s assets carried at fair value.

 

Investments in Securities    Total      Level 1      Level 2      Level 3  

Bank Loans

           

Basic Materials

     1,906,859               1,494,524        412,335  

Capital Goods

     4,949,034               4,518,376        430,658  

Communications Services

     16,405,209               15,293,283        1,111,926  

Consumer Cyclical

     10,419,797               9,384,665        1,035,132  

Consumer Non-Cyclical

     12,524,317               12,524,317         

Energy

     4,652,149               4,269,986        382,163  

Financials

     9,961,968               9,409,132        552,836  

Technology

     4,133,817               4,133,817         

Utilities

     1,407,205               1,091,623        315,582  

Common Stock

           

Communications Services

     10,676,090        8,580,687        2,095,403         

Consumer Discretionary

     18,365,124        12,909,194        5,455,930         

Consumer Staples

     14,082,100        8,343,479        5,738,621         

Energy

     8,414,388        6,581,501        1,832,887         

Financials

     34,957,881        24,051,146        10,906,735         

Health Care

     26,117,938        19,889,356        6,228,582         

Industrials

     28,603,564        19,998,054        8,605,510         

Information Technology

     38,054,233        33,120,476        4,933,757         

Materials

     7,072,573        4,209,603        2,862,970         

Real Estate

     8,072,583        4,538,846        3,533,737         

Utilities

     4,314,000        3,295,732        1,018,268         

Long-Term Fixed Income

           

Asset-Backed Securities

     9,437,297               9,437,297         

Basic Materials

     1,699,610               1,699,610         

Capital Goods

     5,061,574               5,061,574         

Collateralized Mortgage Obligations

     18,775,238               18,775,238         

Communications Services

     8,446,322               8,446,322         

Consumer Cyclical

     5,933,839               5,933,839         

Consumer Non-Cyclical

     6,084,186               6,084,186         

Energy

     5,309,820               5,309,820         

Financials

     17,426,523               16,513,070        913,453  

Mortgage-Backed Securities

     17,863,978               17,863,978         

Technology

     5,907,618               5,907,618         

Transportation

     1,029,299               1,029,299         

Utilities

     2,973,195               2,973,195         

Registered Investment Companies

           

Unaffiliated

     7,685,798        7,685,798                

Preferred Stock

           

Communications Services

     486,659        486,659                

Consumer Staples

     340,608        340,608                

Energy

     647,408        647,408                

Financials

     3,012,917        2,134,974        877,943         

Health Care

     499,123        499,123                

Industrials

     100,136        100,136                

Real Estate

     43,145        43,145                

Utilities

     703,318        703,318                

Short-Term Investments

     1,996,699               1,996,699         

Subtotal Investments in Securities

     $386,555,139        $158,159,243        $223,241,811        $5,154,085  

Other Investments *

         Total           

Affiliated Registered Investment Companies

     29,228,184           

Affiliated Short-Term Investments

     29,644,867           

Collateral Held for Securities Loaned

     3,615,081           

Subtotal Other Investments

     $62,488,132           
                   

Total Investments at Value

     $449,043,271           

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

36


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Other Financial Instruments      Total        Level 1        Level 2      Level 3  

Asset Derivatives

                 

Futures Contracts

       177,870          177,870                  

Total Asset Derivatives

       $177,870          $177,870          $–        $–  

Liability Derivatives

                 

Futures Contracts

       239,013          239,013                  

Total Liability Derivatives

       $239,013          $239,013          $–        $–  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

The following table presents Balanced Income Plus Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $1,996,699 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
     Expiration
Date
     Notional Principal
Amount
     Value and
Unrealized
 

CBOT 10-Yr. U.S. Treasury Note

     40        December 2019        $5,266,379        ($53,879

CBOT 2-Yr. U.S. Treasury Note

     16        December 2019        3,455,924        (7,924

CME E-mini Russell 2000 Index

     30        December 2019        2,374,940        (87,440

CME Euro Foreign Exchange Currency

     58        December 2019        8,023,721        (75,909

CME Ultra Long Term U.S. Treasury Bond

     10        December 2019        1,932,924        (13,861

Eurex Euro STOXX 50 Index

     207        December 2019        7,916,021        104,787  

Total Futures Long Contracts

                       $28,969,909        ($134,226

CBOT 5-Yr. U.S. Treasury Note

     (1)        December 2019        ($119,661      $513  

CBOT U.S. Long Bond

     (2)        December 2019        (329,290      4,665  

CME E-mini S&P 500 Index

     (4)        December 2019        (601,572      5,871  

ICE mini MSCI EAFE Index

     (55)        December 2019        (5,282,634      62,034  

Total Futures Short Contracts

                       ($6,333,157      $73,083  

Total Futures Contracts

                       $22,636,752        ($61,143

 

Reference Description:

CBOT

    -      Chicago Board of Trade

CME

    -      Chicago Mercantile Exchange

EAFE

    -      Europe, Australasia and Far East

ICE

    -      Intercontinental Exchange

MSCI

    -      Morgan Stanley Capital International

S&P

    -      Standard & Poor’s

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.    

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Balanced Income Plus Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Registered Investment Companies

                 

Core Emerging Markets Debt

     $26,264        $960        $–        $29,228        2,979        6.9%  

Total Affiliated Registered Investment Companies

     26,264                          29,228                 6.9  

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     39,017        98,878        108,250        29,645        2,964        7.0  

Total Affiliated Short-Term Investments

     39,017                          29,645                 7.0  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     3,132        44,855        44,372        3,615        3,615        0.9  

Total Collateral Held for Securities Loaned

     3,132                          3,615                 0.9  

Total Value

     $68,413                          $62,488                    

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

37


BALANCED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Registered Investment Companies

           

Core Emerging Markets Debt

     $–        $2,004               $960  

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

                          643  

Total Income from Affiliated Investments

                                $1,603  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          23  

Total Affiliated Income from Securities Loaned, Net

                                $23  

Total Value

     $–        $2,004        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

38


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (12.1%)a   Value
Basic Materials (0.5%)  
 

Ball Metalpack Finco, LLC, Term Loan

 

$138,250

 

6.624%, (LIBOR 3M + 4.500%), 7/31/2025b

    $129,609  
 

Big River Steel, LLC, Term Loan

 

553,700

 

7.104%, (LIBOR 3M + 5.000%), 8/23/2023b,c

    548,163  
 

Chemours Company, Term Loan

 

438,325

 

3.800%, (LIBOR 1M + 1.750%), 4/3/2025b

    421,997  
 

Hexion, Inc., Term Loan

 

290,000

 

5.820%, (LIBOR 3M + 3.500%), 7/1/2026b

    288,913  
 

Momentive Performance Materials USA, LLC, Term Loan

 

463,837

 

5.300%, (LIBOR 1M + 3.250%), 5/15/2024b

    460,359  
 

Peabody Energy Corporation, Term Loan

 

620,550

 

4.794%, (LIBOR 1M + 2.750%), 3/31/2025b

    574,784  
 

Pixelle Specialty Solutions, LLC, Term Loan

 

744,375

 

8.044%, (LIBOR 1M + 6.000%), 10/31/2024b

    734,140  
 

Starfruit US Holdco, LLC, Term Loan

 

467,650

 

5.292%, (LIBOR 1M + 3.250%), 10/1/2025b,d,e

    457,362  
  Total     3,615,327  
Capital Goods (0.9%)  
 

Advanced Disposal Services, Inc., Term Loan

 

488,916

 

4.197%, (LIBOR 1W + 2.250%), 11/10/2023b

    490,201  
 

BWAY Holding Company, Term Loan

 

598,469

 

5.590%, (LIBOR 3M + 3.250%), 4/3/2024b,d,e

    585,339  
 

GFL Environmental, Inc., Term Loan

 

1,489,153

 

5.044%, (LIBOR 1M + 3.000%), 5/31/2025b

    1,475,855  
 

Natgasoline, LLC, Term Loan

 

595,500

 

5.813%, (LIBOR 3M + 3.500%), 11/14/2025b,c

    594,011  
 

Navistar, Inc., Term Loan

 

1,009,625

 

5.530%, (LIBOR 1M + 3.500%), 11/6/2024b

    1,003,628  
 

Sotera Health Holdings, LLC, Term Loan

 

837,642

 

5.044%, (LIBOR 1M + 3.000%), 5/15/2022b

    827,171  
 

TransDigm, Inc., Term Loan

 

746,212

 

4.544%, (LIBOR 1M + 2.500%), 6/9/2023b

    743,750  
 

Vertiv Group Corporation, Term Loan

 

1,437,973

 

6.044%, (LIBOR 1M + 4.000%), 11/15/2023b

    1,366,074  
  Total     7,086,029  
Communications Services (3.1%)  
 

Altice France SA, Term Loan

 

439,875

 

4.794%, (LIBOR 1M + 2.750%), 7/31/2025b

    428,465  
Principal
Amount
  Bank Loans (12.1%)a   Value
Communications Services (3.1%) - continued  
 

CenturyLink, Inc., Term Loan

 

$2,398,696

 

4.794%, (LIBOR 1M + 2.750%), 1/31/2025b

    $2,381,378  
 

Charter Communications Operating, LLC, Term Loan

 

997,237

 

4.050%, (LIBOR 1M + 2.000%), 4/30/2025b

    1,002,722  
 

CommScope Inc., Term Loan

 

1,270,000

 

5.294%, (LIBOR 1M + 3.250%), 4/4/2026b

    1,264,336  
 

CSC Holdings, LLC, Term Loan

 

806,437

 

4.278%, (LIBOR 1M + 2.250%), 7/17/2025b

    805,139  

1,496,250

 

5.028%, (LIBOR 1M + 3.000%), 4/15/2027b

    1,496,250  

1,560,000

 

0.000%, (LIBOR 1M + 2.500%), 4/27/2029b,d,e

    1,561,950  

300,000

 

0.000%, (LIBOR 1M + 2.500%), 4/27/2029b,d,e

    300,000  
 

Diamond Sports Group, LLC, Term Loan

 

1,250,000

 

5.300%, (LIBOR 1M + 3.250%), 8/24/2026b

    1,256,250  
 

Entercom Media Corporation, Term Loan

 

738,074

 

4.804%, (LIBOR 1M + 2.750%), 11/17/2024b

    738,258  
 

Frontier Communications Corporation, Term Loan

 

1,239,260

 

5.800%, (LIBOR 1M + 3.750%), 6/15/2024b

    1,235,282  
 

HCP Acquisition, LLC, Term Loan

 

957,055

 

5.044%, (LIBOR 1M + 3.000%), 5/16/2024b

    955,380  
 

Intelsat Jackson Holdings SA, Term Loan

 

810,000

 

5.804%, (LIBOR 1M + 3.750%), 11/27/2023b

    811,774  
 

Liberty Cablevision of Puerto Rico, LLC, Term Loan

 

1,235,000

 

5.528%, (LIBOR 1M + 3.500%), 1/7/2022b,c

    1,230,369  

192,027

 

8.778%, (LIBOR 1M + 6.750%), 7/7/2023b,c

    189,147  
 

Mediacom Illinois, LLC, Term Loan

 

458,025

 

3.680%, (LIBOR 1W + 1.750%), 2/15/2024b

    458,598  
 

NEP Group, Inc., Term Loan

 

992,500

 

5.294%, (LIBOR 1M + 3.250%), 10/20/2025b

    972,442  
 

SBA Senior Finance II, LLC, Term Loan

 

656,688

 

4.050%, (LIBOR 1M + 2.000%), 4/11/2025b

    656,714  
 

Sprint Communications, Inc., Term Loan

 

1,774,500

 

4.563%, (LIBOR 1M + 2.500%), 2/3/2024b

    1,760,641  

952,800

 

5.063%, (LIBOR 1M + 3.000%), 2/3/2024b

    949,522  
 

TNS, Inc., Term Loan

 

767,310

 

6.260%, (LIBOR 3M + 4.000%), 8/14/2022b

    755,992  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

39


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (12.1%)a   Value
Communications Services (3.1%) - continued  
 

Virgin Media Bristol, LLC, Term Loan

 

$1,275,000

 

4.528%, (LIBOR 1M + 2.500%), 1/15/2026b

    $1,275,000  
 

WideOpenWest Finance, LLC, Term Loan

 

757,540

 

5.294%, (LIBOR 1M + 3.250%), 8/19/2023b

    730,079  
 

Windstream Services, LLC, Term Loan

 

535,000

 

4.550%, (LIBOR 1M + 2.500%), 2/26/2021b

    535,000  

282,830

 

10.000%, (PRIME + 5.000%), 3/30/2021b,f

    286,659  
  Total     24,037,347  
Consumer Cyclical (1.9%)  
 

1011778 B.C., ULC, Term Loan

 

1,829,187

 

4.294%, (LIBOR 1M + 2.250%), 2/17/2024b

    1,834,675  
 

Boyd Gaming Corporation, Term Loan

 

347,292

 

4.166%, (LIBOR 1W + 2.250%), 9/15/2023b

    348,122  
 

Cengage Learning, Inc., Term Loan

 

1,151,292

 

6.294%, (LIBOR 1M + 4.250%), 6/7/2023b

    1,087,015  
 

Eldorado Resorts, Inc., Term Loan

 

256,852

 

4.313%, (LIBOR 1M + 2.250%), 4/17/2024b

    256,317  
 

Four Seasons Hotels, Ltd., Term Loan

 

771,124

 

4.044%, (LIBOR 1M + 2.000%), 11/30/2023b

    774,447  
 

Golden Entertainment, Inc., Term Loan

 

1,375,125

 

5.060%, (LIBOR 1M + 3.000%), 10/20/2024b,c

    1,378,563  
 

Golden Nugget, LLC, Term Loan

 

1,064,802

 

4.800%, (LIBOR 1M + 2.750%), 10/4/2023b,d,e

    1,062,917  
 

IAA, Inc., Term Loan

 

310,275

 

4.313%, (LIBOR 1M + 2.250%), 6/28/2026b

    311,439  
 

Men’s Warehouse, Inc., Term Loan

 

602,085

 

5.350%, (LIBOR 1M + 3.250%), 4/9/2025b,c

    505,751  
 

Mohegan Gaming and Entertainment, Term Loan

 

1,160,877

 

6.044%, (LIBOR 1M + 4.000%), 10/13/2023b

    1,072,685  
 

Scientific Games International, Inc., Term Loan

 

2,534,204

 

4.876%, (LIBOR 1M + 2.750%), 8/14/2024b

    2,510,459  
 

Staples, Inc., Term Loan

 

339,150

 

6.623%, (LIBOR 3M + 4.500%), 9/12/2024b

    334,629  

1,027,425

 

7.123%, (LIBOR 3M + 5.000%), 4/12/2026b

    1,012,229  
 

Stars Group Holdings BV, Term Loan

 

1,285,469

 

5.604%, (LIBOR 3M + 3.500%), 7/10/2025b

    1,290,290  
 

Tenneco, Inc., Term Loan

 

456,550

 

5.044%, (LIBOR 1M + 3.000%), 10/1/2025b

    428,016  
Principal
Amount
  Bank Loans (12.1%)a   Value
Consumer Cyclical (1.9%) - continued  
 

Wyndham Hotels & Resorts, Inc., Term Loan

 

$529,650

 

3.794%, (LIBOR 1M + 1.750%), 5/30/2025b

    $531,933  
  Total     14,739,487  
Consumer Non-Cyclical (2.1%)  
 

Air Medical Group Holdings, Inc., Term Loan

 

2,200,800

 

5.307%, (LIBOR 1M + 3.250%), 4/28/2022b

    2,055,459  

240,712

 

6.294%, (LIBOR 1M + 4.250%), 3/14/2025b

    224,965  
 

Albertson’s LLC, Term Loan

 

1,850,000

 

4.794%, (LIBOR 1M + 2.750%), 8/17/2026b,d,e

    1,860,897  
 

Amneal Pharmaceuticals, LLC, Term Loan

 

868,797

 

5.563%, (LIBOR 1M + 3.500%), 5/4/2025b

    738,477  
 

Bausch Health Companies, Inc., Term Loan

 

1,502,984

 

5.039%, (LIBOR 1M + 3.000%), 6/1/2025b

    1,508,470  
 

Chobani, LLC, Term Loan

 

746,167

 

5.544%, (LIBOR 1M + 3.500%), 10/7/2023b

    739,175  
 

Endo International plc, Term Loan

 

1,987,715

 

6.313%, (LIBOR 1M + 4.250%), 4/27/2024b

    1,805,720  
 

Grifols Worldwide Operations USA, Inc., Term Loan

 

741,000

 

4.197%, (LIBOR 1W + 2.250%), 1/31/2025b

    744,564  
 

JBS USA LUX SA, Term Loan

 

840,775

 

4.544%, (LIBOR 1M + 2.500%), 5/1/2026b

    844,281  
 

Libbey Glass, Inc., Term Loan

 

263,402

 

5.042%, (LIBOR 1M + 3.000%), 4/9/2021b

    205,619  
 

Mallinckrodt International Finance SA, Term Loan

 

994,950

 

5.175%, (LIBOR 3M + 3.000%), 2/24/2025b

    740,740  
 

McGraw-Hill Global Education Holdings, LLC, Term Loan

 

1,766,289

 

6.044%, (LIBOR 1M + 4.000%), 5/4/2022b

    1,657,451  
 

MPH Acquisition Holdings, LLC, Term Loan

 

1,853,523

 

4.854%, (LIBOR 3M + 2.750%), 6/7/2023b

    1,762,774  
 

Ortho-Clinical Diagnostics SA, Term Loan

 

950,600

 

5.563%, (LIBOR 3M + 3.250%), 6/1/2025b

    918,042  
 

Plantronics, Inc., Term Loan

 

404,757

 

4.544%, (LIBOR 1M + 2.500%), 7/2/2025b

    403,576  
 

R.R. Donnelly & Sons Company, Term Loan

 

139,648

 

7.044%, (LIBOR 3M + 5.000%), 1/15/2024b

    139,997  
  Total     16,350,207  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

40


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (12.1%)a   Value
Energy (0.9%)  
 

BCP Raptor II, LLC, Term Loan

 

$563,588

 

6.794%, (LIBOR 1M + 4.750%), 12/19/2025b

    $504,879  
 

Calpine Corporation, Term Loan

 

788,529

 

4.610%, (LIBOR 3M + 2.500%), 1/15/2024b

    790,043  
 

CONSOL Energy, Inc., Term Loan

 

597,000

 

6.550%, (LIBOR 1M + 4.500%), 9/28/2024b

    591,030  
 

Consolidated Energy Finance SA, Term Loan

 

464,125

 

4.547%, (LIBOR 3M + 2.500%), 5/7/2025b,c

    449,041  
 

Fieldwood Energy, LLC, Term Loan

 

600,000

 

7.506%, (LIBOR 3M + 5.250%), 4/11/2022b

    518,664  
 

HFOTCO, LLC, Term Loan

 

1,362,750

 

4.800%, (LIBOR 1M + 2.750%), 6/26/2025b

    1,358,498  
 

McDermott Technology (Americas), Inc., Term Loan

 

1,270,650

 

7.104%, (LIBOR 3M + 5.000%), 5/10/2025b

    798,921  
 

Radiate Holdco, LLC, Term Loan

 

2,082,620

 

5.044%, (LIBOR 1M + 3.000%), 2/1/2024b

    2,073,144  
  Total     7,084,220  
Financials (1.7%)  
 

Avolon TLB Borrower 1 US, LLC, Term Loan

 

923,399

 

3.794%, (LIBOR 1M + 1.750%), 1/15/2025b

    926,243  
 

Blackstone CQP Holdco, LP, Term Loan

 

294,263

 

5.656%, (LIBOR 3M + 3.500%), 6/20/2024b

    295,366  
 

Cyxtera DC Holdings, Inc., Term Loan

 

215,050

 

5.040%, (LIBOR 1M + 3.000%), 5/1/2024b

    193,237  

135,000

 

9.300%, (LIBOR 1M + 7.250%), 5/1/2025b

    109,913  
 

Digicel International Finance, Ltd., Term Loan

 

1,306,672

 

5.340%, (LIBOR 3M + 3.250%), 5/27/2024b

    1,129,187  
 

Genworth Holdings, Inc., Term Loan

 

236,400

 

6.670%, (LIBOR 2M + 4.500%), 3/7/2023b,c

    236,991  
 

GGP Nimbus, LLC, Term Loan

 

1,306,800

 

4.544%, (LIBOR 1M + 2.500%), 8/24/2025b

    1,288,021  
 

Grizzly Finco, Term Loan

 

990,000

 

5.569%, (LIBOR 3M + 3.250%), 10/1/2025b

    981,130  
 

Harland Clarke Holdings Corporation, Term Loan

 

1,126,510

 

6.854%, (LIBOR 3M + 4.750%), 11/3/2023b

    875,862  
 

Level 3 Parent, LLC, Term Loan

 

1,600,000

 

4.294%, (LIBOR 1M + 2.250%), 2/22/2024b

    1,602,336  
Principal
Amount
  Bank Loans (12.1%)a   Value
Financials (1.7%) - continued  
 

MoneyGram International, Inc., Term Loan

 

$561,204

 

8.044%, (LIBOR 1M + 6.000%), 6/30/2023b,c

    $527,532  
 

NCR Corporation, Delayed Draw

 

453,333

 

0.000%, (LIBOR 3M + 2.500%), 8/28/2026b,d,e

    453,900  
 

NCR Corporation, Term Loan

 

396,667

 

0.000%, (LIBOR 3M + 2.500%), 8/28/2026b,d,e

    397,162  
 

Sable International Finance, Ltd., Term Loan

 

2,051,093

 

5.294%, (LIBOR 2M + 3.250%), 1/31/2026b

    2,058,211  
 

Trans Union, LLC, Term Loan

 

693,928

 

4.044%, (LIBOR 1M + 2.000%), 4/9/2023b

    695,857  
 

Tronox Finance, LLC, Term Loan

 

1,835,303

 

4.817%, (LIBOR 1M + 2.750%), 9/22/2024b

    1,833,670  
  Total     13,604,618  
Technology (0.8%)  
 

Clear Channel Outdoor Holdings, Inc., Term Loan

 

1,555,000

 

5.544%, (LIBOR 1M + 3.500%), 8/23/2026b

    1,558,328  
 

Prime Security Services Borrower, LLC, Term Loan

 

2,000,000

 

0.000%, (LIBOR 1M + 3.250%), 9/23/2026b,d,e

    1,977,820  
 

Rackspace Hosting, Inc., Term Loan

 

2,085,214

 

5.287%, (LIBOR 3M + 3.000%), 11/3/2023b

    1,910,243  
 

SS&C Technologies Holdings Europe SARL, Term Loan

 

272,652

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    273,333  
 

SS&C Technologies, Inc., Term Loan

 

412,781

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    413,814  
  Total     6,133,538  
Utilities (0.2%)  
 

Core and Main, LP, Term Loan

 

633,712

 

4.863%, (LIBOR 1M + 2.750%), 8/1/2024b

    627,775  
 

EnergySolutions, LLC, Term Loan

 

429,563

 

5.854%, (LIBOR 3M + 3.750%), 5/11/2025b

    398,419  
 

Talen Energy Supply, LLC, Term Loan

 

400,000

 

5.792%, (LIBOR 1M + 3.750%), 7/8/2026b

    399,000  
 

TerraForm Power Operating, LLC, Term Loan

 

393,985

 

4.044%, (LIBOR 1M + 2.000%), 11/8/2022b,c

    394,477  
  Total     1,819,671  
              
 

Total Bank Loans

(cost $96,806,692)

    94,470,444  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

41


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Asset-Backed Securities (4.7%)  
 

Apidos CLO XXIV

 

$1,570,000

 

3.728%, (LIBOR 3M + 1.450%), 10/20/2030, Ser. 2016-24A, Class A1BRb,g

    $1,550,328  
 

Babson CLO, Ltd.

 

2,400,000

 

5.178%, (LIBOR 3M + 2.900%), 7/20/2029, Ser. 2018-3A, Class Db,g

    2,243,378  
 

Bayview Opportunity Master Fund Trust

 

1,137,108

 

3.228%, 8/28/2034, Ser. 2019-LT1, Class A1g

    1,137,459  
 

Benefit Street Partners CLO IV, Ltd.

 

1,000,000

 

4.028%, (LIBOR 3M + 1.750%), 1/20/2029, Ser. 2014-IVA, Class A2RRb,g

    999,524  
 

Business Jet Securities, LLC

 

1,415,353

 

4.447%, 6/15/2033, Ser. 2018-2, Class Ag

    1,440,333  
 

Cent CLO, LP

 

2,950,000

 

4.576%, (LIBOR 3M + 2.300%), 10/25/2028, Ser. 2018-27A, Class Bb,g

    2,926,719  
 

Foundation Finance Trust

 

552,417

 

3.300%, 7/15/2033, Ser. 2017-1A, Class Ag

    554,884  
 

Harley Marine Financing, LLC

 

1,288,538

 

5.682%, 5/15/2043, Ser. 2018-1A, Class A2g

    1,127,471  
 

Madison Park Funding XIV, Ltd.

 

1,450,000

 

3.678%, (LIBOR 3M + 1.400%), 10/22/2030, Ser. 2014-14A, Class A2RRb,g

    1,431,663  
 

Myers Park CLO, Ltd.

 

1,425,000

 

3.678%, (LIBOR 3M + 1.400%), 10/20/2030, Ser. 2018-1A, Class A2b,g

    1,403,333  
 

Neuberger Berman CLO XIV, Ltd.

 

1,187,500

 

5.906%, (LIBOR 3M + 3.650%), 1/28/2030, Ser. 2013-14A, Class DRb,g

    1,131,615  
 

Neuberger Berman CLO, Ltd.

 

475,000

 

5.928%, (LIBOR 3M + 3.650%), 4/22/2029, Ser. 2014-17A, Class DRb,g

    466,932  
 

OHA Credit Funding 1, Ltd.

 

1,215,000

 

3.728%, (LIBOR 3M + 1.450%), 10/20/2030, Ser. 2018-1A, Class A2b,g

    1,200,183  
 

OZLM Funding II, Ltd.

 

2,435,000

 

3.766%, (LIBOR 3M + 1.500%), 7/30/2031, Ser. 2012-2A, Class A1BRb,g

    2,412,778  
 

OZLM IX, Ltd.

 

1,875,000

 

3.828%, (LIBOR 3M + 1.550%), 10/20/2031, Ser. 2014-9A, Class A1BRb,g

    1,865,419  
 

Palmer Square Loan Funding, Ltd.

 

1,000,000

 

4.528%, (LIBOR 3M + 2.250%), 4/20/2027, Ser. 2019-1A, Class Bb,g

    991,832  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Asset-Backed Securities (4.7%) - continued  
 

Park Avenue Institutional Advisers CLO, Ltd.

 

$2,400,000

 

3.778%, (LIBOR 3M + 1.500%), 10/20/2031, Ser. 2018-1A, Class A1Bb,g

    $2,363,666  
 

Preston Ridge Partners Mortgage Trust, LLC

 

144,041

 

4.250%, 1/25/2022, Ser. 2017-1A, Class A1g,h

    144,354  
 

Pretium Mortgage Credit Partners, LLC

 

1,476,665

 

3.721%, 1/25/2059, Ser. 2019-CFL1, Class A1g,h

    1,473,494  

723,406

 

4.826%, 9/25/2058, Ser. 2018-NPL4, Class A1g,h

    727,359  
 

Riserva CLO, Ltd.

 

1,200,000

 

4.000%, (LIBOR 3M + 1.700%), 10/18/2028, Ser. 2016-3A, Class BRb,g

    1,197,124  
 

Saxon Asset Securities Trust

 

184,047

 

4.117%, 8/25/2035, Ser. 2004-2, Class MF2

    182,172  
 

Sound Point CLO X, Ltd.

 

1,150,000

 

4.978%, (LIBOR 3M + 2.700%), 1/20/2028, Ser. 2015-3A, Class DRb,g

    1,118,153  
 

Sound Point CLO XXI, Ltd.

 

2,400,000

 

3.717%, (LIBOR 3M + 1.450%), 10/26/2031, Ser. 2018-3A, Class A1Bb,g

    2,362,781  
 

THL Credit Wind River CLO, Ltd.

 

1,250,000

 

5.153%, (LIBOR 3M + 2.850%), 7/15/2028, Ser. 2016-1A, Class DRb,g

    1,215,554  
 

Vericrest Opportunity Loan Transferee

 

1,800,000

 

4.704%, 8/25/2048, Ser. 2018-NPL5, Class A1Bg,h

    1,793,628  

1,311,009

 

3.352%, 9/25/2049, Ser. 2019-NPL5, Class A1Ag,h

    1,315,087  
  Total     36,777,223  
Basic Materials (0.8%)  
 

Anglo American Capital plc

 

216,000

 

4.125%, 9/27/2022g

    224,986  
 

BHP Billiton Finance USA, Ltd.

 

480,000

 

6.750%, 10/19/2075b,g

    561,000  
 

CF Industries, Inc.

 

860,000

 

3.450%, 6/1/2023

    872,900  
 

First Quantum Minerals, Ltd.

 

980,000

 

7.500%, 4/1/2025g

    965,300  
 

Kinross Gold Corporation

 

108,000

 

5.125%, 9/1/2021

    112,050  
 

Novelis Corporation

 

950,000

 

5.875%, 9/30/2026g

    996,312  
 

Olin Corporation

 

900,000

 

5.125%, 9/15/2027

    920,250  
 

Packaging Corporation of America

 

164,000

 

2.450%, 12/15/2020

    164,340  
 

Peabody Securities Finance Corporation

 

745,000

 

6.375%, 3/31/2025g

    736,157  
 

Syngenta Finance NV

 

200,000

 

3.933%, 4/23/2021g

    203,658  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

42


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Basic Materials (0.8%) - continued  
 

Tronox Finance plc

 

$550,000

 

5.750%, 10/1/2025g

    $520,162  
 

Vale Overseas, Ltd.

 

70,000

 

4.375%, 1/11/2022

    72,275  
 

Xstrata Finance Canada, Ltd.

 

163,000

 

4.950%, 11/15/2021g

    170,498  
  Total     6,519,888  
Capital Goods (2.3%)  
 

AECOM

 

465,000

 

5.875%, 10/15/2024

    505,455  

765,000

 

5.125%, 3/15/2027

    803,250  
 

Aerojet Rocketdyne Holdings, Inc., Convertible

 

435,000

 

2.250%, 12/15/2023

    867,281  
 

Amsted Industries, Inc.

 

665,000

 

5.625%, 7/1/2027g

    701,575  
 

Ardagh Packaging Finance plc

 

940,000

 

6.000%, 2/15/2025g

    982,864  
 

Bombardier, Inc.

 

1,405,000

 

7.500%, 3/15/2025g

    1,403,244  
 

Building Materials Corporation of America

 

785,000

 

6.000%, 10/15/2025g

    823,041  
 

Caterpillar Financial Services Corporation

 

161,000

 

1.850%, 9/4/2020

    160,766  

164,000

 

1.900%, 9/6/2022

    163,790  
 

Cemex SAB de CV

 

775,000

 

5.700%, 1/11/2025g

    797,250  
 

Chart Industries, Inc., Convertible

 

50,000

 

1.000%, 11/15/2024g

    62,562  
 

Cintas Corporation No. 2

 

162,000

 

2.900%, 4/1/2022

    165,547  
 

CNH Industrial Capital, LLC

 

165,000

 

4.875%, 4/1/2021

    170,805  
 

Covanta Holding Corporation

 

470,000

 

6.000%, 1/1/2027

    494,675  
 

Crown Americas Capital Corporation IV

 

730,000

 

4.500%, 1/15/2023

    766,500  
 

Crown Cork & Seal Company, Inc.

 

410,000

 

7.375%, 12/15/2026

    498,150  
 

General Electric Company

 

745,000

 

5.000%, 1/21/2021b,i

    706,819  
 

H&E Equipment Services, Inc.

 

860,000

 

5.625%, 9/1/2025

    885,284  
 

KBR, Inc., Convertible

 

145,000

 

2.500%, 11/1/2023g

    167,756  
 

L3Harris Technologies, Inc.

 

280,000

 

4.950%, 2/15/2021g

    287,683  
 

Lockheed Martin Corporation

 

70,000

 

2.500%, 11/23/2020

    70,307  
 

Owens-Brockway Glass Container, Inc.

 

1,070,000

 

5.000%, 1/15/2022g

    1,103,651  
 

Parker-Hannifin Corporation

 

225,000

 

2.700%, 6/14/2024

    229,194  
 

Republic Services, Inc.

 

105,000

 

2.500%, 8/15/2024

    106,157  
 

Reynolds Group Issuer, Inc.

 

1,125,000

 

5.125%, 7/15/2023g

    1,151,719  
 

Rockwell Collins, Inc.

 

112,000

 

2.800%, 3/15/2022

    113,845  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Capital Goods (2.3%) - continued  
 

Roper Technologies, Inc.

 

$270,000

 

2.800%, 12/15/2021

    $274,324  

117,000

 

2.350%, 9/15/2024

    117,033  
 

Standard Industries, Inc.

 

185,000

 

5.500%, 2/15/2023g

    188,700  
 

Textron Financial Corporation

 

1,350,000

 

3.893%, (LIBOR 3M + 1.735%), 2/15/2042b,g

    1,020,964  
 

Textron, Inc.

 

137,000

 

7.250%, 10/1/2019

    137,000  
 

TTM Technologies, Inc., Convertible

 

256,000

 

1.750%, 12/15/2020

    341,327  
 

United Rentals North America, Inc.

 

780,000

 

5.500%, 7/15/2025

    811,590  

250,000

 

4.625%, 10/15/2025

    255,122  
 

United Technologies Corporation

 

237,000

 

3.950%, 8/16/2025

    259,451  
 

Waste Management, Inc.

 

110,000

 

2.950%, 6/15/2024

    113,741  
  Total     17,708,422  
Collateralized Mortgage Obligations (8.8%)  
 

Alternative Loan Trust

 

571,692

 

6.000%, 8/1/2036, Ser. 2006-24CB, Class A9

    480,235  
 

Antler Mortgage Trust

 

1,250,000

 

4.458%, 6/27/2022, Ser. 2019-RTL1, Class A1g

    1,266,938  

3,600,000

 

4.335%, 7/25/2022, Ser. 2018-RTL1, Class A1g

    3,620,051  
 

Banc of America Alternative Loan Trust

 

191,672

 

2.518%, (LIBOR 1M + 0.500%), 4/25/2035, Ser. 2005-3, Class 1CB1b

    168,727  

872,051

 

6.000%, 11/25/2035, Ser. 2005-10, Class 3CB1

    840,725  
 

Banc of America Mortgage Securities Trust

 

1,244,405

 

4.305%, 9/25/2035, Ser. 2005-H, Class 3A1b

    1,239,404  
 

Bear Stearns Adjustable Rate Mortgage Trust

 

72,549

 

4.270%, (CMT 1Y + 2.300%), 10/25/2035, Ser. 2005-9, Class A1b

    74,508  
 

Bellemeade Re 2018-1, Ltd.

 

2,256,612

 

3.618%, (LIBOR 1M + 1.600%), 4/25/2028, Ser. 2018-1A, Class M1Bb,g

    2,259,102  
 

Cascade Funding Mortgage Trust

 

1,033,396

 

4.580%, 6/25/2048, Ser. 2018-RM1, Class A1g

    1,032,513  

1,576,335

 

4.000%, 10/25/2068, Ser. 2018-RM2, Class Ab,g

    1,628,906  
 

CHL Mortgage Pass-Through Trust

 

1,151,447

 

3.837%, 11/20/2035, Ser. 2005-HYB7, Class 6A1b

    1,051,105  

398,613

 

4.254%, 12/20/2035, Ser. 2005-HYB8, Class 3A1b

    390,960  

1,428,013

 

6.000%, 11/25/2037, Ser. 2007-18, Class 1A2

    1,220,806  
 

CIM Trust

 

919,751

 

5.000%, 12/25/2057, Ser. 2018-R3, Class A1b,g

    963,751  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

43


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value

Collateralized Mortgage Obligations (8.8%) - continued

 
 

Citicorp Mortgage Securities Trust

 

$159,132

 

6.000%, 5/25/2037, Ser. 2007-4, Class 1A5

    $155,612  
 

Citigroup Mortgage Loan Trust, Inc.

 

179,246

 

5.500%, 11/25/2035, Ser. 2005-9, Class 21A2

    182,795  

412,104

 

5.025%, 3/25/2037, Ser. 2007-AR4, Class 2A1Ab

    355,042  

1,544,561

 

4.738%, 4/25/2037, Ser. 2007-AR5, Class 1A1Ab

    1,542,517  
 

Countrywide Alternative Loan Trust

 

94,802

 

2.418%, (LIBOR 1M + 0.400%), 2/25/2035, Ser. 2005-J1, Class 5A1b

    90,913  

309,057

 

3.666%, 10/25/2035, Ser. 2005-43, Class 4A1b

    285,838  

324,631

 

3.984%, 10/25/2035, Ser. 2005-43, Class 1A1b

    316,181  

367,356

 

5.500%, 2/25/2036, Ser. 2005-85CB, Class 2A2

    355,481  

190,601

 

6.000%, 4/25/2036, Ser. 2006-4CB, Class 1A1

    153,927  

994,988

 

6.500%, 8/25/2036, Ser. 2006-23CB, Class 2A3

    603,492  

91,829

 

6.000%, 1/25/2037, Ser. 2006-39CB, Class 1A16

    91,615  
 

Countrywide Home Loan Mortgage Pass Through Trust

 

483,372

 

3.985%, 11/25/2035, Ser. 2005-22, Class 2A1b

    438,322  
 

Credit Suisse Mortgage Capital Certificates

 

1,195,807

 

3.322%, 10/25/2058, Ser. 2019-RPL8, Class A1b,g

    1,200,871  
 

Deutsche Alt-A Securities, Inc., Mortgage Loan Trust

 

1,000,680

 

5.250%, 6/25/2035, Ser. 2005-3, Class 4A6

    1,047,192  
 

Eagle Re, Ltd.

 

1,350,000

 

3.818%, (LIBOR 1M + 1.800%), 4/25/2029, Ser. 2019-1, Class M1Bb,g

    1,355,166  
 

Federal Home Loan Mortgage Corporation - REMIC

 

1,673,831

 

2.500%, 12/15/2022, Ser. 4155, Class AIj

    50,066  

891,372

 

2.500%, 5/15/2027, Ser. 4106, Class HIj

    48,450  

3,107,734

 

3.000%, 5/15/2027, Ser. 4046, Class GIj

    210,196  

2,376,115

 

3.000%, 7/15/2027, Ser. 4084, Class NIj

    176,471  

3,488,275

 

3.000%, 7/15/2027, Ser. 4074, Class IOj

    257,481  

1,142,224

 

2.500%, 2/15/2028, Ser. 4162, Class AIj

    77,710  

2,447,185

 

2.500%, 2/15/2028, Ser. 4161, Class UIj

    155,974  

3,400,556

 

2.500%, 3/15/2028, Ser. 4177, Class EIj

    227,454  

3,600,403

 

3.500%, 10/15/2032, Ser. 4119, Class KIj

    435,392  

1,656,986

 

3.000%, 2/15/2033, Ser. 4170, Class IGj

    172,957  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value

Collateralized Mortgage Obligations (8.8%) - continued

 

$3,924,729

 

3.000%, 4/15/2033, Ser. 4203, Class DIj

    $294,755  
 

Federal National Mortgage Association - REMIC

 

5,162,852

 

3.000%, 7/25/2027, Ser. 2012-73, Class DIj

    383,569  

3,205,171

 

3.000%, 7/25/2027, Ser. 2012-74, Class AIj

    209,538  

6,262,865

 

3.000%, 8/25/2027, Ser. 2012-95, Class HIj

    404,089  

3,274,434

 

3.500%, 9/25/2027, Ser. 2012-98, Class YIj

    280,109  

8,313,015

 

3.000%, 11/25/2027, Ser. 2012-121, Class BIj

    600,725  

4,247,484

 

3.000%, 12/25/2027, Ser. 2012-139, Class DIj

    290,713  

2,243,546

 

2.500%, 1/25/2028, Ser. 2012-152, Class AIj

    146,755  

5,807,423

 

3.000%, 1/25/2028, Ser. 2012-147, Class EIj

    397,810  

1,578,206

 

2.500%, 2/25/2028, Ser. 2013-46, Class CIj

    89,050  

2,946,895

 

3.000%, 2/25/2028, Ser. 2013-2, Class GIj

    213,500  

1,091,377

 

3.000%, 4/25/2028, Ser. 2013-30, Class DIj

    79,776  

3,975,044

 

3.000%, 11/25/2031, Ser. 2013-69, Class IOj

    245,697  

2,146,234

 

3.000%, 2/25/2033, Ser. 2013-1, Class YIj

    250,017  
 

First Horizon Alternative Mortgage Securities Trust

 

354,262

 

4.212%, 3/25/2035, Ser. 2005-AA2, Class 1A1b

    340,254  

332,115

 

4.245%, 7/25/2035, Ser. 2005-AA5, Class 2A1b

    329,485  
 

First Horizon Mortgage Pass-Through Trust

 

312,975

 

4.922%, 8/25/2037, Ser. 2007-AR2, Class 1A2b

    244,340  
 

GMAC Mortgage Corporation Loan Trust

 

616,413

 

4.072%, 5/25/2035, Ser. 2005-AR2, Class 4Ab

    604,469  
 

Government National Mortgage Association

 

1,080,159

 

4.000%, 1/16/2027, Ser. 2012-3, Class IOj

    85,976  
 

Greenpoint Mortgage Funding Trust

 

419,802

 

2.218%, (LIBOR 1M + 0.200%), 10/25/2045, Ser. 2005-AR4, Class G41Bb

    376,551  
 

IndyMac IMJA Mortgage Loan Trust

 

643,610

 

6.250%, 11/25/2037, Ser. 2007-A3, Class A1

    461,144  
 

IndyMac INDX Mortgage Loan Trust

 

1,103,306

 

2.228%, (LIBOR 1M + 0.210%), 4/25/2046, Ser. 2006-AR2, Class 1A1Bb

    1,041,500  
 

J.P. Morgan Alternative Loan Trust

 

669,945

 

6.500%, 3/25/2036, Ser. 2006-S1, Class 1A19

    560,547  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

44


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Collateralized Mortgage Obligations (8.8%) - continued  
 

J.P. Morgan Mortgage Trust

 

$127,348

 

6.500%, 1/25/2035, Ser. 2005-S1, Class 1A2

    $142,173  

567,967

 

4.536%, 2/25/2036, Ser. 2006-A1, Class 2A2b

    528,773  
 

Legacy Mortgage Asset Trust

 

1,619,002

 

4.000%, 1/25/2059, Ser. 2019-GS1, Class A1g

    1,638,415  
 

Lehman Mortgage Trust

 

240,946

 

2.768%, (LIBOR 1M + 0.750%), 12/25/2035, Ser. 2005-2, Class 3A1b

    177,805  
 

Master Asset Securitization Trust

 

830,581

 

2.518%, (LIBOR 1M + 0.500%), 6/25/2036, Ser. 2006-2, Class 2A2b

    348,467  
 

MASTR Alternative Loans Trust

 

275,379

 

2.468%, (LIBOR 1M + 0.450%), 12/25/2035, Ser. 2005-6, Class 2A1b

    92,871  
 

Merrill Lynch Alternative Note Asset Trust

 

364,199

 

6.000%, 3/25/2037, Ser. 2007-F1, Class 2A1

    270,066  
 

Merrill Lynch Mortgage Investors Trust

 

832,448

 

4.338%, 6/25/2035, Ser. 2005-A5, Class M1b

    874,103  
 

Oak Hill Advisors Residential Loan Trust

 

87,662

 

3.125%, 6/25/2057, Ser. 2017-NPL1, Class A1g,h

    87,658  
 

Oaktown Re II, Ltd.

 

1,657,813

 

3.568%, (LIBOR 1M + 1.550%), 7/25/2028, Ser. 2018-1A, Class M1b,g

    1,659,854  
 

Preston Ridge Partners Mortgage Trust, LLC

 

436,251

 

4.500%, 1/25/2024, Ser. 2019-1A, Class A1g,h

    439,334  

1,644,353

 

3.967%, 4/25/2024, Ser. 2019-2A, Class A1g,h

    1,661,019  
 

Pretium Mortgage Credit Partners, LLC

 

1,249,842

 

4.213%, 7/25/2060, Ser. 2019-NPL1, Class A1g,h

    1,260,208  
 

Radnor RE, Ltd.

 

1,660,031

 

3.418%, (LIBOR 1M + 1.400%), 3/25/2028, Ser. 2018-1, Class M1b,g

    1,662,292  

1,700,000

 

4.718%, (LIBOR 1M + 2.700%), 3/25/2028, Ser. 2018-1, Class M2b,g

    1,708,573  
 

RCO 2017-INV1 Trust

 

1,038,881

 

3.197%, 11/25/2052, Ser. 2017-INV1, Class Ab,g

    1,032,697  
 

Renaissance Home Equity Loan Trust

 

1,167,872

 

5.797%, 8/25/2036, Ser. 2006-2, Class AF3h

    650,756  
 

Residential Accredit Loans, Inc. Trust

 

676,090

 

6.000%, 8/25/2035, Ser. 2005-QS10, Class 2A

    680,883  

338,461

 

5.750%, 9/25/2035, Ser. 2005-QS13, Class 2A3

    335,893  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Collateralized Mortgage Obligations (8.8%) - continued  

$500,742

 

6.000%, 4/25/2036, Ser. 2006-QS4, Class A2

    $475,294  

419,745

 

6.000%, 1/25/2037, Ser. 2007-QS1, Class 1A1

    397,771  

718,484

 

5.750%, 4/25/2037, Ser. 2007-QS6, Class A28

    675,179  

440,267

 

6.250%, 4/25/2037, Ser. 2007-QS6, Class A6

    425,320  

192,129

 

6.000%, 6/25/2037, Ser. 2007-QS8, Class A10

    178,131  
 

Residential Asset Securitization Trust

 

506,418

 

6.200%, 8/25/2022, Ser. 2007-A8, Class 3A1b

    416,203  

613,746

 

3.614%, 1/25/2034, Ser. 2004-IP1, Class A1b

    613,563  

738,110

 

5.500%, 4/25/2035, Ser. 2005-A1, Class A3

    763,844  
 

Residential Funding Mortgage Security I Trust

 

1,003,379

 

6.000%, 7/25/2037, Ser. 2007-S7, Class A20

    986,346  
 

Sequoia Mortgage Trust

 

875,847

 

3.402%, 9/20/2046, Ser. 2007-1, Class 4A1b

    713,646  
 

Starwood Mortgage Residential Trust

 

1,504,796

 

4.121%, 10/25/2048, Ser. 2018-IMC2, Class A1b,g

    1,533,345  
 

Structured Adjustable Rate Mortgage Loan Trust

 

315,193

 

4.240%, 7/25/2035, Ser. 2005-15, Class 4A1b

    295,920  

201,420

 

4.256%, 9/25/2035, Ser. 2005-18, Class 1A1b

    178,195  
 

Structured Asset Mortgage Investments, Inc.

 

753,485

 

2.328%, (LIBOR 1M + 0.310%), 12/25/2035, Ser. 2005-AR4, Class A1b

    757,078  
 

Toorak Mortgage Corporation

 

1,750,000

 

4.375%, 8/25/2021, Ser. 2018-1, Class A1g,h

    1,767,924  

1,500,000

 

4.458%, 3/25/2022, Ser. 2019-1, Class A1g,h

    1,524,109  
 

Vericrest Opportunity Loan Trust

 

973,076

 

3.750%, 4/25/2048, Ser. 2018-NPL1, Class A1g,h

    974,629  

1,265,443

 

3.967%, 3/25/2049, Ser. 2019-NPL3, Class A1g,h

    1,272,514  

723,675

 

3.352%, 8/25/2049, Ser. 2019-NPL4, Class A1Ag,h

    724,971  
 

Verus Securitization Trust

 

1,341,882

 

3.345%, 4/25/2059, Ser. 2019-2, Class A2b,g

    1,349,441  
 

WaMu Mortgage Pass Through Certificates

 

51,111

 

3.876%, 8/25/2046, Ser. 2006-AR8, Class 1A1b

    49,376  

854,985

 

3.326%, (12 MTA + 0.880%), 10/25/2046, Ser. 2006-AR13, Class 1Ab

    810,295  

863,014

 

2.405%, (COF 11 + 1.250%), 3/25/2047, Ser. 2007-OA2, Class 2Ab

    838,964  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

45


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Collateralized Mortgage Obligations (8.8%) - continued  
 

Washington Mutual Mortgage Pass Through Certificates

 

$442,716

 

6.000%, 11/25/2035, Ser. 2005-10, Class 2A9

    $438,762  

695,931

 

7.000%, 4/25/2037, Ser. 2007-2, Class 1A1

    446,520  

315,306

 

3.366%, (12 MTA + 0.920%), 9/25/2046, Ser. 2006-AR11, Class 3A1Ab

    302,671  
 

Wells Fargo Mortgage Backed Securities Trust

 
491,525  

4.908%, 12/25/2034, Ser. 2004-EE, Class B1b

    493,913  
 

Total

    68,810,979  

Communications Services (3.3%)

 
 

AMC Networks, Inc.

 

1,080,000

 

5.000%, 4/1/2024

    1,112,400  
 

American Tower Corporation

 

60,000

 

2.800%, 6/1/2020

    60,228  

98,000

 

3.450%, 9/15/2021

    100,260  

112,000

 

2.950%, 1/15/2025

    114,428  
 

AT&T, Inc.

 

452,000

 

4.450%, 4/1/2024

    488,967  
 

British Sky Broadcasting Group plc

 

110,000

 

3.125%, 11/26/2022g

    113,572  
 

CCO Holdings, LLC

 

1,000,000

 

5.875%, 4/1/2024g

    1,043,460  

700,000

 

5.500%, 5/1/2026g

    733,180  

460,000

 

5.125%, 5/1/2027g

    480,125  
 

Charter Communications Operating, LLC

 

311,000

 

3.579%, 7/23/2020

    313,783  

120,000

 

4.500%, 2/1/2024

    128,931  

120,000

 

4.908%, 7/23/2025

    131,877  
 

Comcast Corporation

 

216,000

 

1.625%, 1/15/2022

    215,171  

117,000

 

3.700%, 4/15/2024

    124,748  

117,000

 

3.950%, 10/15/2025

    127,389  
 

Cox Communications, Inc.

 

171,000

 

2.950%, 6/30/2023g

    173,417  
 

Crown Castle International Corporation

 

140,000

 

3.400%, 2/15/2021

    141,916  

109,000

 

3.150%, 7/15/2023

    111,931  
 

CSC Holdings, LLC

 

725,000

 

5.500%, 5/15/2026g

    762,990  
 

Deutsche Telekom International Finance BV

 

105,000

 

2.485%, 9/19/2023g

    105,583  
 

Discovery Communications, LLC

 

216,000

 

2.950%, 3/20/2023

    219,478  
 

DISH Network Corporation, Convertible

 

1,989,000

 

3.375%, 8/15/2026

    1,822,333  
 

Embarq Corporation

 

480,000

 

7.995%, 6/1/2036

    474,451  
 

Fox Corporation

 

229,000

 

4.030%, 1/25/2024g

    243,622  
 

Frontier Communications Corporation

 

450,000

 

8.000%, 4/1/2027g

    474,611  
 

GCI Liberty, Inc., Convertible

 

1,374,000

 

1.750%, 9/30/2046g

    1,671,128  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Communications Services (3.3%) - continued  
 

Gray Escrow, Inc.

 

$900,000

 

7.000%, 5/15/2027g

    $988,830  
 

IAC FinanceCo, Inc., Convertible

 

346,000

 

0.875%, 10/1/2022g

    527,783  
 

Level 3 Communications, Inc.

 

935,000

 

5.375%, 1/15/2024

    953,560  
 

Level 3 Financing, Inc.

 

280,000

 

5.375%, 5/1/2025

    290,150  

435,000

 

5.250%, 3/15/2026

    452,335  
 

Liberty Interactive, LLC, Convertible

 

172,000

 

1.800%, 1/15/2031

    156,992  
 

Liberty Media Corporation, Convertible

 

841,000

 

1.000%, 1/30/2023

    1,053,209  
 

Moody’s Corporation

 

108,000

 

2.750%, 12/15/2021

    109,425  
 

Neptune Finco Corporation

 

512,000

 

10.875%, 10/15/2025g

    579,814  
 

Netflix, Inc.

 

905,000

 

4.875%, 4/15/2028

    920,792  
 

Nexstar Escrow Corporation

 

716,000

 

5.625%, 8/1/2024g

    745,249  
 

Orange SA

 

185,000

 

1.625%, 11/3/2019

    184,864  
 

Sirius XM Radio, Inc.

 

940,000

 

5.000%, 8/1/2027g

    969,563  
 

Sprint Corporation

 

1,710,000

 

7.625%, 2/15/2025

    1,881,000  
 

Telefonica Emisiones SAU

 

230,000

 

4.570%, 4/27/2023

    247,925  
 

T-Mobile USA, Inc.

 

1,410,000

 

4.500%, 2/1/2026

    1,451,313  
 

Twitter, Inc., Convertible

 

480,000

 

0.250%, 6/15/2024

    508,019  
 

Verizon Communications, Inc.

 

67,000

 

2.946%, 3/15/2022

    68,606  

219,000

 

3.258%, (LIBOR 3M + 1.100%), 5/15/2025b

    222,385  
 

Viacom, Inc.

 

161,000

 

4.250%, 9/1/2023

    170,742  

270,000

 

5.875%, 2/28/2057b

    280,294  
 

Virgin Media Secured Finance plc

 

935,000

 

5.250%, 1/15/2026g

    960,713  
 

Vodafone Group plc

 
165,000  

3.750%, 1/16/2024

    173,968  
 

Total

    25,387,510  

Consumer Cyclical (2.9%)

 
 

Allison Transmission, Inc.

 

1,115,000

 

5.000%, 10/1/2024g

    1,139,391  
 

American Honda Finance Corporation

 

162,000

 

2.000%, 2/14/2020

    161,984  

163,000

 

2.050%, 1/10/2023

    162,785  
 

BMW Finance NV

 

109,000

 

2.250%, 8/12/2022g

    109,096  
 

Brookfield Property REIT, Inc.

 

475,000

 

5.750%, 5/15/2026g

    496,375  
 

Brookfield Residential Properties, Inc.

 

920,000

 

6.250%, 9/15/2027g

    924,600  
 

Cinemark USA, Inc.

 

900,000

 

4.875%, 6/1/2023

    912,375  
 

D.R. Horton, Inc.

 

160,000

 

2.550%, 12/1/2020

    160,470  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

46


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Consumer Cyclical (2.9%) - continued  
 

Daimler Finance North America, LLC

 

$118,000

 

2.550%, 8/15/2022g

    $118,451  
 

Ford Motor Credit Company, LLC

 

95,000

 

2.597%, 11/4/2019

    94,996  

162,000

 

3.336%, 3/18/2021

    162,752  

220,000

 

5.596%, 1/7/2022

    231,144  
 

General Motors Financial Company, Inc.

 

162,000

 

2.650%, 4/13/2020

    162,214  

162,000

 

4.375%, 9/25/2021

    167,363  

118,000

 

4.200%, 11/6/2021

    121,734  

108,000

 

3.150%, 6/30/2022

    109,250  

191,000

 

6.500%, 9/30/2028b,i,k

    191,955  
 

Hanesbrands, Inc.

 

700,000

 

4.875%, 5/15/2026g

    739,550  
 

Harley-Davidson Financial Services, Inc.

 

170,000

 

4.050%, 2/4/2022g

    175,340  
 

Hilton Domestic Operating Company, Inc.

 

920,000

 

4.875%, 1/15/2030g

    971,382  
 

Home Depot, Inc.

 

110,000

 

2.000%, 4/1/2021

    110,252  

65,000

 

2.625%, 6/1/2022

    66,505  
 

Hyundai Capital America

 

165,000

 

3.000%, 6/20/2022g

    166,254  
 

L Brands, Inc.

 

470,000

 

5.625%, 2/15/2022

    495,262  

470,000

 

6.694%, 1/15/2027

    461,775  
 

Landry’s, Inc.

 

920,000

 

6.750%, 10/15/2024g

    943,000  
 

Lennar Corporation

 

161,000

 

2.950%, 11/29/2020

    160,791  

65,000

 

4.125%, 1/15/2022

    66,544  

1,180,000

 

4.500%, 4/30/2024

    1,243,130  
 

Live Nation Entertainment, Inc.

 

520,000

 

5.375%, 6/15/2022g

    526,500  

470,000

 

5.625%, 3/15/2026g

    499,962  
 

Macy’s Retail Holdings, Inc.

 

45,000

 

3.875%, 1/15/2022

    45,768  

67,000

 

2.875%, 2/15/2023

    66,152  
 

Mattamy Group Corporation

 

870,000

 

6.500%, 10/1/2025g

    913,500  
 

McDonald’s Corporation

 

226,000

 

3.350%, 4/1/2023

    235,886  
 

MGM Resorts International

 

775,000

 

6.000%, 3/15/2023

    853,817  

875,000

 

5.750%, 6/15/2025

    963,594  
 

Navistar International Corporation

 

855,000

 

6.625%, 11/1/2025g

    867,825  
 

New Red Finance, Inc.

 

800,000

 

4.250%, 5/15/2024g

    822,968  

275,000

 

5.000%, 10/15/2025g

    284,075  
 

Prime Security Services Borrower, LLC

 

990,000

 

5.750%, 4/15/2026g

    1,030,887  
 

Ralph Lauren Corporation

 

70,000

 

2.625%, 8/18/2020

    70,442  
 

Scientific Games International, Inc.

 

470,000

 

5.000%, 10/15/2025g

    484,946  
 

ServiceMaster Company, LLC

 

930,000

 

5.125%, 11/15/2024g

    964,875  
 

Six Flags Entertainment Corporation

 

960,000

 

4.875%, 7/31/2024g

    993,600  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Consumer Cyclical (2.9%) - continued  
 

Starbucks Corporation

 

$115,000

 

2.100%, 2/4/2021

    $115,105  
 

Viking Cruises, Ltd.

 

660,000

 

5.875%, 9/15/2027g

    699,336  
 

Visa, Inc.

 

70,000

 

2.200%, 12/14/2020

    70,269  
 

Volkswagen Group of America Finance, LLC

 

200,000

 

4.250%, 11/13/2023g

    213,101  
 

Yum! Brands, Inc.

 

865,000

 

5.000%, 6/1/2024g

    897,437  
240,000  

4.750%, 1/15/2030g

    247,500  
  Total     22,894,265  
Consumer Non-Cyclical (2.7%)  
 

Abbott Laboratories

 

216,000

 

2.550%, 3/15/2022

    218,247  

113,000

 

3.400%, 11/30/2023

    118,793  
 

AbbVie, Inc.

 

216,000

 

2.500%, 5/14/2020

    216,493  

108,000

 

2.900%, 11/6/2022

    110,075  
 

Albertson’s Companies, LLC

 

1,000,000

 

6.625%, 6/15/2024

    1,047,500  
 

Allergan, Inc.

 

107,000

 

2.800%, 3/15/2023

    107,992  
 

Altria Group, Inc.

 

110,000

 

3.800%, 2/14/2024

    115,001  

113,000

 

4.400%, 2/14/2026

    120,796  
 

Anheuser-Busch Companies, LLC

 

113,000

 

3.650%, 2/1/2026

    121,076  
 

Anheuser-Busch InBev Finance, Inc.

 

97,000

 

3.300%, 2/1/2023

    100,836  
 

Anheuser-Busch InBev Worldwide, Inc.

 

177,000

 

4.150%, 1/23/2025

    193,380  
 

B&G Foods, Inc.

 

820,000

 

5.250%, 9/15/2027

    838,532  
 

BAT Capital Corporation

 

110,000

 

2.764%, 8/15/2022

    111,044  

177,000

 

3.222%, 8/15/2024

    179,139  
 

Bayer U.S. Finance II, LLC

 

213,000

 

3.500%, 6/25/2021g

    217,259  
 

Becton, Dickinson and Company

 

226,000

 

3.363%, 6/6/2024

    235,746  
 

Boston Scientific Corporation

 

226,000

 

3.450%, 3/1/2024

    235,799  
 

Bunge, Ltd. Finance Corporation

 

70,000

 

3.500%, 11/24/2020

    70,756  
 

Cardtronics, Inc., Convertible

 

270,000

 

1.000%, 12/1/2020

    263,148  
 

Celgene Corporation

 

177,000

 

3.625%, 5/15/2024

    186,929  
 

Centene Corporation

 

920,000

 

4.750%, 1/15/2025

    944,380  
 

Cigna Corporation

 

235,000

 

4.125%, 11/15/2025

    253,045  
 

Conagra Brands, Inc.

 

118,000

 

3.800%, 10/22/2021

    121,773  

118,000

 

4.300%, 5/1/2024

    126,626  
 

Constellation Brands, Inc.

 

220,000

 

4.250%, 5/1/2023

    235,213  
 

CVS Health Corporation

 

108,000

 

2.750%, 12/1/2022

    109,325  

327,000

 

3.700%, 3/9/2023

    340,350  

220,000

 

4.100%, 3/25/2025

    234,915  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

47


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Consumer Non-Cyclical (2.7%) - continued  
 

Energizer Holdings, Inc.

 

$950,000

 

6.375%, 7/15/2026g,k

    $1,017,583  
 

Express Scripts Holding Company

 

108,000

 

4.750%, 11/15/2021

    113,496  
 

Forest Laboratories, LLC

 

53,000

 

4.875%, 2/15/2021g

    54,474  
 

General Mills, Inc.

 

110,000

 

3.700%, 10/17/2023

    115,796  

110,000

 

3.650%, 2/15/2024

    115,441  
 

HCA, Inc.

 

1,350,000

 

5.375%, 2/1/2025

    1,474,875  
 

Imperial Brands Finance plc

 

105,000

 

3.125%, 7/26/2024g

    105,223  
 

J.M. Smucker Company

 

110,000

 

2.200%, 12/6/2019

    109,961  
 

JBS USA Lux SA

 

990,000

 

5.500%, 1/15/2030g

    1,049,380  
 

JBS USA, LLC

 

870,000

 

5.750%, 6/15/2025g

    906,383  
 

Kellogg Company

 

220,000

 

3.125%, 5/17/2022

    225,024  
 

Keurig Dr Pepper, Inc.

 

224,000

 

3.551%, 5/25/2021

    228,952  
 

Kroger Company

 

110,000

 

2.800%, 8/1/2022

    111,930  
 

Laboratory Corporation of America Holdings

 

5,000

 

2.625%, 2/1/2020

    5,003  
 

Mead Johnson Nutrition Company

 

70,000

 

3.000%, 11/15/2020

    70,606  
 

Mondelez International Holdings Netherlands BV

 

162,000

 

2.000%, 10/28/2021g

    161,676  
 

Mylan NV

 

112,000

 

3.150%, 6/15/2021

    113,428  
 

Mylan, Inc.

 

105,000

 

4.200%, 11/29/2023

    110,053  
 

Par Pharmaceutical, Inc.

 

470,000

 

7.500%, 4/1/2027g

    427,700  
 

Pernod Ricard SA

 

190,000

 

5.750%, 4/7/2021g

    199,935  
 

Post Holdings, Inc.

 

400,000

 

5.500%, 3/1/2025g

    419,000  
 

Reynolds American, Inc.

 

110,000

 

4.850%, 9/15/2023

    119,054  
 

Shire Acquisitions Investments Ireland Designated Activity Company

 

216,000

 

2.400%, 9/23/2021

    217,001  
 

Simmons Foods, Inc.

 

840,000

 

5.750%, 11/1/2024g

    819,000  
 

Smithfield Foods, Inc.

 

162,000

 

2.700%, 1/31/2020g

    161,905  
 

Spectrum Brands, Inc.

 

700,000

 

5.750%, 7/15/2025

    730,443  
 

Teleflex, Inc.

 

725,000

 

4.875%, 6/1/2026

    755,812  
 

Tenet Healthcare Corporation

 

240,000

 

4.625%, 7/15/2024

    246,655  

700,000

 

5.125%, 11/1/2027g

    723,345  
 

Teva Pharmaceutical Finance Netherlands III BV

 

200,000

 

2.200%, 7/21/2021

    182,750  
 

Tyson Foods, Inc.

 

98,000

 

4.500%, 6/15/2022

    103,679  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Consumer Non-Cyclical (2.7%) - continued  
 

UnitedHealth Group, Inc.

 

$70,000

 

3.350%, 7/15/2022

    $72,532  
 

Valeant Pharmaceuticals International, Inc.

 

470,000

 

5.875%, 5/15/2023g

    475,875  
 

VRX Escrow Corporation

 

1,895,000

 

6.125%, 4/15/2025g

    1,966,062  
 

Zimmer Biomet Holdings, Inc.

 

220,000

 

3.550%, 4/1/2025

    231,006  
 

Zoetis, Inc.

 

161,000

 

3.450%, 11/13/2020

    163,077  
161,000  

3.250%, 2/1/2023

    165,270  
  Total     21,443,553  
Energy (2.5%)  
 

Alliance Resource Operating Partners, LP

 

760,000

 

7.500%, 5/1/2025g

    750,500  
 

Antero Resources Corporation

 

360,000

 

5.125%, 12/1/2022

    315,900  

500,000

 

5.625%, 6/1/2023k

    432,500  
 

BP Capital Markets America, Inc.

 

442,000

 

2.520%, 9/19/2022

    447,333  
 

BP Capital Markets plc

 

108,000

 

2.315%, 2/13/2020

    108,115  
 

Canadian Natural Resources, Ltd.

 

110,000

 

2.950%, 1/15/2023

    112,005  
 

Canadian Oil Sands, Ltd.

 

108,000

 

9.400%, 9/1/2021g

    120,561  
 

Cheniere Corpus Christi Holdings, LLC

 

800,000

 

7.000%, 6/30/2024

    919,000  
 

Cheniere Energy Partners, LP

 

1,120,000

 

5.625%, 10/1/2026

    1,188,488  
 

Chesapeake Energy Corporation

 

925,000

 

7.000%, 10/1/2024

    663,687  
 

Continental Resources, Inc.

 

59,000

 

5.000%, 9/15/2022

    59,520  
 

Diamondback Energy, Inc.

 

560,000

 

4.750%, 11/1/2024

    573,300  

250,000

 

5.375%, 5/31/2025

    260,890  
 

Enbridge, Inc.

 

110,000

 

2.900%, 7/15/2022

    112,088  

887,000

 

6.250%, 3/1/2078b

    940,118  
 

Energy Transfer Operating, LP

 

112,000

 

4.200%, 9/15/2023

    117,830  

220,000

 

5.875%, 1/15/2024

    244,606  

264,000

 

6.625%, 2/15/2028b,i

    249,480  
 

EnLink Midstream Partners, LP

 

940,000

 

4.850%, 7/15/2026

    893,000  
 

Enterprise Products Operating, LLC

 

440,000

 

4.875%, 8/16/2077b

    425,150  
 

EOG Resources, Inc.

 

180,000

 

2.625%, 3/15/2023

    183,484  
 

EQM Midstream Partners LP

 

177,000

 

4.750%, 7/15/2023

    177,666  
 

Hess Corporation

 

112,000

 

3.500%, 7/15/2024

    114,311  
 

Kinder Morgan Energy Partners, LP

 

216,000

 

3.450%, 2/15/2023

    222,776  
 

Marathon Oil Corporation

 

108,000

 

2.700%, 6/1/2020

    108,211  
 

Marathon Petroleum Corporation

 

110,000

 

4.750%, 12/15/2023

    119,383  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

48


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Energy (2.5%) - continued  
 

MPLX, LP

 

$162,000

 

4.500%, 7/15/2023

    $172,592  
 

Nabors Industries, Inc.

 

550,000

 

5.750%, 2/1/2025

    407,000  
 

Newfield Exploration Company

 

110,000

 

5.625%, 7/1/2024

    121,358  
 

Noble Energy, Inc.

 

165,000

 

3.900%, 11/15/2024

    172,990  
 

Occidental Petroleum Corporation

 

48,000

 

4.850%, 3/15/2021

    49,631  

220,000

 

2.700%, 8/15/2022

    221,925  

164,000

 

2.900%, 8/15/2024

    165,245  
 

Parsley Energy, LLC

 

730,000

 

5.625%, 10/15/2027g

    753,725  
 

Plains All American Pipeline, LP

 

247,000

 

5.000%, 2/1/2021

    253,390  

260,000

 

6.125%, 11/15/2022b,i

    244,910  

60,000

 

2.850%, 1/31/2023

    60,004  
 

Precision Drilling Corporation

 

230,000

 

7.750%, 12/15/2023

    223,434  

330,000

 

7.125%, 1/15/2026g

    305,250  
 

Sabine Pass Liquefaction, LLC

 

108,000

 

6.250%, 3/15/2022

    116,370  

108,000

 

5.625%, 4/15/2023

    117,358  
 

Southwestern Energy Company

 

840,000

 

7.500%, 4/1/2026

    730,800  
 

Sunoco Logistics Partners Operations, LP

 

175,000

 

4.400%, 4/1/2021

    179,756  
 

Sunoco, LP

 

475,000

 

5.500%, 2/15/2026

    495,743  

460,000

 

5.875%, 3/15/2028

    488,175  
 

Tallgrass Energy Partners, LP

 

1,490,000

 

5.500%, 1/15/2028g

    1,456,326  
 

Transocean Guardian, Ltd.

 

787,650

 

5.875%, 1/15/2024g

    791,588  
 

W&T Offshore, Inc.

 

900,000

 

9.750%, 11/1/2023g

    859,158  
 

Western Gas Partners, LP

 

110,000

 

4.000%, 7/1/2022

    111,333  
 

Williams Partners, LP

 

215,000

 

4.500%, 11/15/2023

    230,143  
 

WPX Energy, Inc.

 

610,000

 

5.750%, 6/1/2026

    625,250  
270,000  

5.250%, 10/15/2027

    272,025  
  Total     19,485,381  
Financials (7.2%)  
 

ACE INA Holdings, Inc.

 

70,000

 

2.875%, 11/3/2022

    71,756  
 

Aegon NV

 

720,000

 

2.139%, (USISDA 10Y + 0.100%), 1/15/2020b,i

    507,600  
 

AIG Global Funding

 

220,000

 

2.150%, 7/2/2020g

    220,188  
 

Air Lease Corporation

 

220,000

 

2.500%, 3/1/2021

    220,642  
 

Aircastle, Ltd.

 

178,000

 

5.000%, 4/1/2023

    190,637  
 

Ally Financial, Inc.

 

950,000

 

5.750%, 11/20/2025

    1,064,019  
 

American Express Company

 

112,000

 

3.375%, 5/17/2021

    114,240  

105,000

 

3.700%, 8/3/2023

    110,634  

113,000

 

3.400%, 2/22/2024

    118,191  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Financials (7.2%) - continued  
 

Ares Capital Corporation

 

$218,000

 

3.875%, 1/15/2020

    $218,581  
 

Ares Capital Corporation, Convertible

 

522,000

 

4.625%, 3/1/2024

    549,013  
 

Athene Global Funding

 

165,000

 

4.000%, 1/25/2022g

    171,240  
 

Australia and New Zealand Banking Group, Ltd.

 

430,000

 

6.750%, 6/15/2026b,g,i

    476,225  
 

Avolon Holdings Funding, Ltd.

 

57,000

 

5.250%, 5/15/2024g

    61,030  
 

BAC Capital Trust XIV

 

248,000

 

4.000%, (LIBOR 3M + 0.400%), 10/17/2019b,i

    216,876  
 

Banco Bilbao Vizcaya Argentaria SA

 

200,000

 

6.500%, 3/5/2025b,i

    203,600  

200,000

 

6.125%, 11/16/2027b,i

    191,750  
 

Bank of America Corporation

 

218,000

 

2.738%, 1/23/2022b

    219,260  

224,000

 

3.499%, 5/17/2022b

    228,437  

200,000

 

3.004%, 12/20/2023b

    204,262  

328,000

 

3.550%, 3/5/2024b

    341,106  

564,000

 

5.125%, 6/20/2024b,i

    584,445  

457,000

 

3.864%, 7/23/2024b

    481,312  

220,000

 

4.200%, 8/26/2024

    235,980  

750,000

 

6.250%, 9/5/2024b,i

    816,000  

113,000

 

3.458%, 3/15/2025b

    117,902  
 

Bank of Montreal

 

330,000

 

3.300%, 2/5/2024

    343,429  
 

Bank of New York Mellon Corporation

 

216,000

 

2.600%, 2/7/2022

    218,983  
 

Bank of Nova Scotia

 

112,000

 

2.718%, (LIBOR 3M + 0.440%), 4/20/2021b

    112,423  

162,000

 

2.700%, 3/7/2022

    164,834  

221,000

 

2.375%, 1/18/2023

    222,933  
 

Barclays Bank plc

 

100,000

 

5.140%, 10/14/2020

    102,256  
 

Barclays plc

 

225,000

 

4.610%, 2/15/2023b

    233,746  

731,000

 

7.750%, 9/15/2023b,i

    760,730  

200,000

 

4.338%, 5/16/2024b

    208,935  
 

BB&T Corporation

 

220,000

 

2.150%, 2/1/2021

    220,356  

105,000

 

2.500%, 8/1/2024

    105,846  

600,000

 

4.800%, 9/1/2024b,i

    599,994  
 

Blackstone Mortgage Trust, Inc., Convertible

 

120,000

 

4.375%, 5/5/2022

    124,950  
 

BNP Paribas SA

 

460,000

 

7.625%, 3/30/2021b,g,i

    484,725  
 

BNZ International Funding, Ltd.

 

250,000

 

3.099%, (LIBOR 3M + 0.980%), 9/14/2021b,g

    252,856  
 

BPCE SA

 

110,000

 

3.000%, 5/22/2022g

    111,622  
 

Camden Property Trust

 

110,000

 

4.875%, 6/15/2023

    119,607  
 

Capital One Bank USA NA

 

165,000

 

3.375%, 2/15/2023

    170,042  
 

Capital One Financial Corporation

 

324,000

 

3.050%, 3/9/2022

    330,459  
 

Central Fidelity Capital Trust I

 

445,000

 

3.303%, (LIBOR 3M + 1.000%), 4/15/2027b

    413,850  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

49


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Financials (7.2%) - continued  
 

CIT Bank NA

 

$118,000

 

2.969%, 9/27/2025b

    $118,147  
 

CIT Group, Inc.

 

925,000

 

5.000%, 8/15/2022

    979,945  
 

Citigroup, Inc.

 

216,000

 

2.650%, 10/26/2020

    217,318  

97,000

 

2.350%, 8/2/2021

    97,444  

108,000

 

2.750%, 4/25/2022

    109,611  

108,000

 

2.946%, (LIBOR 3M + 0.690%), 10/27/2022b

    108,137  

218,000

 

3.142%, 1/24/2023b

    222,040  

496,000

 

5.000%, 9/12/2024b,i

    502,051  

336,000

 

3.352%, 4/24/2025b

    348,460  

248,000

 

5.950%, 5/15/2025b,i

    262,575  
 

Citizens Bank NA

 

250,000

 

2.200%, 5/26/2020

    250,013  
 

CNA Financial Corporation

 

103,000

 

5.750%, 8/15/2021

    109,394  

126,000

 

3.950%, 5/15/2024

    135,236  
 

Commonwealth Bank of Australia

 

216,000

 

2.250%, 3/10/2020g

    216,197  
 

Compass Bank

 

250,000

 

3.500%, 6/11/2021

    254,127  
 

Cooperatieve Centrale Raiffeisen- Boerenleenbank BA

 

216,000

 

3.950%, 11/9/2022

    224,981  
 

Credit Agricole SA

 

108,000

 

3.375%, 1/10/2022g

    110,414  

406,000

 

8.125%, 12/23/2025b,g,i

    477,557  
 

Credit Suisse Group AG

 

400,000

 

7.500%, 7/17/2023b,g,i

    427,500  

372,000

 

7.500%, 12/11/2023b,g,i

    411,060  

117,000

 

2.593%, 9/11/2025b,g

    115,899  

560,000

 

6.375%, 8/21/2026b,g,i

    579,600  
 

Credit Suisse Group Funding (Guernsey), Ltd.

 

325,000

 

3.800%, 9/15/2022

    337,665  
 

Danske Bank AS

 

177,000

 

5.000%, 1/12/2022g

    186,094  
 

Deutsche Bank AG

 

108,000

 

2.700%, 7/13/2020

    107,778  

324,000

 

4.250%, 10/14/2021

    328,674  
 

Deutsche Bank AG of New York

 

100,000

 

3.950%, 2/27/2023

    101,444  
 

Digital Realty Trust, LP

 

165,000

 

2.750%, 2/1/2023

    166,676  
 

Discover Bank

 

43,000

 

8.700%, 11/18/2019

    43,333  

175,000

 

2.450%, 9/12/2024

    174,525  
 

Discover Bank of Greenwood Delaware

 

107,000

 

4.200%, 8/8/2023

    113,744  
 

Fidelity National Financial, Inc.

 

180,000

 

5.500%, 9/1/2022

    193,171  
 

Fifth Third Bancorp

 

164,000

 

2.600%, 6/15/2022

    165,761  

113,000

 

3.650%, 1/25/2024

    119,127  
 

Five Corners Funding Trust

 

275,000

 

4.419%, 11/15/2023g

    297,314  
 

FTI Consulting, Inc., Convertible

 

460,000

 

2.000%, 8/15/2023

    559,871  
 

GE Capital International Funding Company

 

461,000

 

3.373%, 11/15/2025

    470,369  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Financials (7.2%) - continued  
 

General Electric Capital Corporation

 

$113,000

 

3.100%, 1/9/2023

    $114,502  
 

Goldman Sachs Group, Inc.

 

216,000

 

5.375%, 5/10/2020b,i

    217,620  

216,000

 

5.250%, 7/27/2021

    227,601  

160,000

 

3.328%, (LIBOR 3M + 1.170%), 11/15/2021b

    161,227  

216,000

 

3.000%, 4/26/2022

    218,402  

164,000

 

2.876%, 10/31/2022b

    165,899  

108,000

 

3.177%, (LIBOR 3M + 1.050%), 6/5/2023b

    108,649  

226,000

 

3.625%, 2/20/2024

    237,093  

548,000

 

5.500%, 8/10/2024b,i,k

    575,400  
 

GS Finance Corporation, Convertible

 

1,975,000

 

0.500%, 6/23/2025c

    2,024,770  
 

Guardian Life Global Funding

 

200,000

 

2.000%, 4/26/2021g

    199,886  
 

Hannon Armstrong Sustainable Infrastructure Capital, Convertible

 

116,000

 

4.125%, 9/1/2022

    129,485  
 

Hospitality Properties Trust

 

80,000

 

4.250%, 2/15/2021

    81,085  
 

HSBC Holdings plc

 

324,000

 

3.400%, 3/8/2021

    328,957  

216,000

 

6.875%, 6/1/2021b,i

    226,584  

210,000

 

3.789%, (LIBOR 3M + 1.500%), 1/5/2022b

    213,932  

298,000

 

6.375%, 9/17/2024b,i

    312,715  

225,000

 

3.803%, 3/11/2025b

    234,397  
 

Huntington Bancshares, Inc.

 

140,000

 

3.150%, 3/14/2021

    141,880  
 

Icahn Enterprises, LP

 

325,000

 

6.750%, 2/1/2024

    338,000  

430,000

 

6.375%, 12/15/2025

    452,150  
 

ILFC E-Capital Trust II

 

372,000

 

4.020%, (H15T30Y + 1.800%), 12/21/2065b,g

    259,321  
 

ING Groep NV

 

555,000

 

6.000%, 4/16/2020b,i

    560,050  

225,000

 

4.100%, 10/2/2023

    238,860  
 

International Lease Finance Corporation

 

216,000

 

4.625%, 4/15/2021

    222,423  

216,000

 

5.875%, 8/15/2022

    236,660  
 

Iron Mountain, Inc.

 

665,000

 

4.875%, 9/15/2027g

    680,082  
 

iStar, Inc., Convertible

 

145,000

 

3.125%, 9/15/2022

    153,551  
 

J.P. Morgan Chase & Company

 

161,000

 

2.818%, (LIBOR 3M + 0.680%), 6/1/2021b

    161,257  

210,000

 

2.295%, 8/15/2021

    210,557  

272,000

 

2.776%, 4/25/2023b

    275,903  

220,000

 

3.375%, 5/1/2023

    227,603  

362,000

 

5.150%, 5/1/2023b,i

    372,407  

215,000

 

3.513%, (LIBOR 3M + 1.230%), 10/24/2023b

    218,409  

1,132,000

 

5.000%, 8/1/2024b,i

    1,163,130  

220,000

 

3.875%, 9/10/2024

    234,388  

456,000

 

4.023%, 12/5/2024b

    486,427  
 

Liberty Mutual Group, Inc.

 

525,000

 

3.951%, 10/15/2050g

    524,932  

25,000

 

5.000%, 6/1/2021g

    25,944  
 

Lincoln National Corporation

 

185,000

 

6.250%, 2/15/2020

    187,561  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

50


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Financials (7.2%) - continued  

$235,000

 

4.481%, (LIBOR 3M + 2.358%), 5/17/2066b

    $190,423  
 

Lloyds Banking Group plc

 

215,000

 

3.000%, 1/11/2022

    217,211  

175,000

 

2.858%, 3/17/2023b

    175,565  

225,000

 

3.900%, 3/12/2024

    235,470  

800,000

 

6.413%, 10/1/2035b,g,i

    840,000  

590,000

 

6.657%, 5/21/2037b,g,i

    629,825  
 

Macquarie Bank, Ltd.

 

540,000

 

6.125%, 3/8/2027b,g,i

    543,375  
 

Marsh & McLennan Companies, Inc.

 

175,000

 

3.875%, 3/15/2024

    186,557  
 

MetLife Capital Trust IV

 

823,000

 

7.875%, 12/15/2037g

    1,082,245  
 

MGIC Investment Corporation, Convertible

 

805,000

 

9.000%, 4/1/2063g

    1,076,184  
 

Mitsubishi UFJ Financial Group, Inc.

 

108,000

 

2.998%, 2/22/2022

    109,882  

163,000

 

2.623%, 7/18/2022

    164,310  

220,000

 

3.455%, 3/2/2023

    227,703  

113,000

 

3.407%, 3/7/2024

    117,577  
 

Mizuho Financial Group, Inc.

 

163,000

 

2.721%, 7/16/2023b

    164,353  
 

Morgan Stanley

 

210,000

 

2.800%, 6/16/2020

    211,060  

216,000

 

5.500%, 7/28/2021

    229,126  

108,000

 

2.750%, 5/19/2022

    109,554  

64,000

 

4.875%, 11/1/2022

    68,630  

218,000

 

3.125%, 1/23/2023

    223,628  

114,000

 

2.720%, 7/22/2025b

    115,315  
 

MPT Operating Partnership, LP

 

510,000

 

5.500%, 5/1/2024

    523,387  

460,000

 

4.625%, 8/1/2029

    473,800  
 

Nordea Bank Abp

 

200,000

 

6.625%, 3/26/2026b,g,i

    215,250  
 

Park Aerospace Holdings, Ltd.

 

57,000

 

4.500%, 3/15/2023g

    58,984  
 

PNC Bank NA

 

216,000

 

2.450%, 11/5/2020

    216,966  
 

PNC Financial Services Group, Inc.

 

110,000

 

3.500%, 1/23/2024

    116,221  
 

Quicken Loans, Inc.

 

1,160,000

 

5.750%, 5/1/2025g

    1,196,250  
 

Realty Income Corporation

 

162,000

 

5.750%, 1/15/2021

    168,009  
 

Regions Financial Corporation

 

90,000

 

3.200%, 2/8/2021

    91,108  

112,000

 

3.800%, 8/14/2023

    118,150  
 

Reinsurance Group of America, Inc.

 

162,000

 

4.700%, 9/15/2023

    175,063  
 

Royal Bank of Canada

 

216,000

 

2.125%, 3/2/2020

    216,146  
 

Royal Bank of Scotland Group plc

 

621,000

 

8.625%, 8/15/2021b,i

    664,998  

110,000

 

6.125%, 12/15/2022

    119,024  

110,000

 

6.100%, 6/10/2023

    119,812  

880,000

 

5.125%, 5/28/2024

    938,096  

220,000

 

4.269%, 3/22/2025b

    230,087  
 

Santander Holdings USA, Inc.

 

178,000

 

4.450%, 12/3/2021

    185,908  
 

Santander UK Group Holdings plc

 

210,000

 

2.875%, 8/5/2021

    210,750  
 

Simon Property Group, LP

 

120,000

 

2.500%, 7/15/2021

    120,931  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Financials (7.2%) - continued  

$106,000

 

2.000%, 9/13/2024

    $104,916  
 

SITE Centers Corporation

 

52,000

 

4.625%, 7/15/2022

    54,355  
 

Societe Generale SA

 

805,000

 

8.000%, 9/29/2025b,g,i

    906,631  
 

Standard Chartered plc

 

163,000

 

2.744%, 9/10/2022b,g

    163,168  
 

State Street Capital Trust IV

 

1,482,000

 

3.119%, (LIBOR 3M + 1.000%), 6/15/2047b

    1,137,302  
 

Sumitomo Mitsui Financial Group, Inc.

 

108,000

 

2.784%, 7/12/2022

    109,608  

456,000

 

2.778%, 10/18/2022

    462,869  

141,000

 

2.448%, 9/27/2024

    140,907  
 

SunTrust Banks, Inc.

 

95,000

 

2.900%, 3/3/2021

    95,988  
 

Synchrony Financial

 

25,000

 

3.517%, (LIBOR 3M + 1.230%), 2/3/2020b

    25,054  

94,000

 

3.750%, 8/15/2021

    96,188  

105,000

 

2.850%, 7/25/2022

    105,926  

115,000

 

4.250%, 8/15/2024

    121,333  
 

Toronto-Dominion Bank

 

295,000

 

2.550%, 1/25/2021

    297,225  

113,000

 

3.250%, 3/11/2024

    118,190  
 

UBS Group Funding Jersey, Ltd.

 

216,000

 

3.000%, 4/15/2021g

    218,587  
 

USB Realty Corporation

 

1,497,000

 

3.450%, (LIBOR 3M + 1.147%), 1/15/2022b,g,i

    1,279,935  
 

Ventas Realty, LP

 

112,000

 

3.100%, 1/15/2023

    114,893  

110,000

 

3.750%, 5/1/2024

    116,028  
 

Wachovia Capital Trust II

 

220,000

 

2.803%, (LIBOR 3M + 0.500%), 1/15/2027b

    203,500  
 

Wells Fargo & Company

 

205,000

 

2.100%, 7/26/2021

    204,939  

110,000

 

2.625%, 7/22/2022

    111,224  

326,000

 

3.393%, (LIBOR 3M + 1.110%), 1/24/2023b

    329,577  

220,000

 

4.125%, 8/15/2023

    233,432  

250,000

 

3.486%, (LIBOR 3M + 1.230%), 10/31/2023b

    253,777  

115,000

 

3.750%, 1/24/2024

    121,791  
 

Westpac Banking Corporation

 
275,000  

2.974%, (LIBOR 3M + 0.850%), 8/19/2021b

    277,976  
  Total     56,512,705  
Mortgage-Backed Securities (10.0%)  
 

Federal Home Loan Mortgage Corporation

 

3,525,822

 

3.500%, 8/15/2035, Ser. 345, Class C8j

    370,728  
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

7,125,000

 

2.500%, 10/1/2034e

    7,186,369  

7,300,000

 

3.500%, 10/1/2034e

    7,550,367  

16,452,000

 

3.000%, 10/1/2034e

    16,818,957  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

51


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Mortgage-Backed Securities (10.0%) - continued  
 

Federal National Mortgage Association Conventional 30-Yr. Pass Through

 

$13,485,000

 

3.500%, 10/1/2049e

    $13,835,294  
32,238,000  

3.000%, 10/1/2049e

    32,729,126  
  Total     78,490,841  
Technology (1.9%)  
 

Akamai Technologies, Inc., Convertible

 

577,000

 

0.375%, 9/1/2027g

    588,193  
 

Apple, Inc.

 

217,000

 

2.400%, 1/13/2023

    220,544  

385,000

 

3.450%, 5/6/2024

    409,925  
 

Baidu, Inc.

 

109,000

 

3.000%, 6/30/2020

    109,375  
 

Booking Holdings, Inc., Convertible

 

324,000

 

0.350%, 6/15/2020

    484,278  
 

Broadcom Corporation

 

222,000

 

2.650%, 1/15/2023

    221,793  
 

CommScope Technologies Finance, LLC

 

780,000

 

6.000%, 6/15/2025g

    703,950  
 

Cypress Semiconductor Corporation, Convertible

 

235,000

 

4.500%, 1/15/2022

    409,753  
 

Dell International, LLC/EMC Corporation

 

170,000

 

4.000%, 7/15/2024g

    177,815  
 

Diamond 1 Finance Corporation

 

330,000

 

5.450%, 6/15/2023g

    359,345  
 

Diamond Sports Group, LLC

 

950,000

 

6.625%, 8/15/2027g,k

    984,248  
 

Equinix, Inc.

 

675,000

 

5.750%, 1/1/2025

    702,878  
 

Fidelity National Information Services, Inc.

 

275,000

 

2.250%, 8/15/2021

    275,371  
 

Fiserv, Inc.

 

235,000

 

2.750%, 7/1/2024

    239,019  
 

Global Payments, Inc.

 

52,000

 

2.650%, 2/15/2025

    52,221  
 

Harland Clarke Holdings Corporation

 

480,000

 

8.375%, 8/15/2022g

    393,600  
 

Hewlett Packard Enterprise Company

 

268,000

 

3.600%, 10/15/2020

    271,448  

106,000

 

2.250%, 4/1/2023

    105,690  
 

Inception Merger Sub, Inc.

 

750,000

 

8.625%, 11/15/2024g,k

    689,925  
 

Intel Corporation

 

160,000

 

1.700%, 5/19/2021

    159,804  

70,000

 

3.100%, 7/29/2022

    72,449  
 

Intel Corporation, Convertible

 

443,000

 

3.250%, 8/1/2039

    1,125,211  
 

j2 Global, Inc., Convertible

 

373,000

 

3.250%, 6/15/2029

    528,851  
 

Marvell Technology Group, Ltd.

 

112,000

 

4.200%, 6/22/2023

    117,400  
 

Microchip Technology, Inc., Convertible

 

181,000

 

1.625%, 2/15/2027

    233,004  
 

Microsoft Corporation

 

216,000

 

2.400%, 2/6/2022

    219,022  
 

NCR Corporation

 

620,000

 

6.125%, 9/1/2029g

    653,511  
Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Technology (1.9%) - continued  
 

Nuance Communications, Inc., Convertible

 

$1,265,000

 

1.250%, 4/1/2025

    $1,239,700  
 

NXP BV/NXP Funding, LLC

 

165,000

 

4.875%, 3/1/2024g

    178,933  
 

Okta, Inc., Convertible

 

476,000

 

0.125%, 9/1/2025g

    430,974  
 

ON Semiconductor Corporation, Convertible

 

566,000

 

1.625%, 10/15/2023

    680,586  
 

Oracle Corporation

 

60,000

 

2.500%, 5/15/2022

    60,759  
 

Panasonic Corporation

 

163,000

 

2.536%, 7/19/2022g

    163,993  
 

Plantronics, Inc.

 

800,000

 

5.500%, 5/31/2023g

    802,000  
 

Seagate HDD Cayman

 

58,000

 

4.250%, 3/1/2022

    59,750  
 

SS&C Technologies, Inc.

 

700,000

 

5.500%, 9/30/2027g

    731,518  
 

Texas Instruments, Inc.

 

60,000

 

1.750%, 5/1/2020

    59,936  
 

Verint Systems, Inc., Convertible

 
282,000  

1.500%, 6/1/2021

    283,536  
  Total     15,200,308  
Transportation (0.5%)  
 

Boeing Company

 

226,000

 

3.100%, 5/1/2026

    237,127  
 

CSX Corporation

 

110,000

 

3.700%, 11/1/2023

    116,336  
 

Delta Air Lines, Inc.

 

162,000

 

2.875%, 3/13/2020

    162,346  
 

Hertz Corporation

 

500,000

 

5.500%, 10/15/2024g

    500,750  
 

J.B. Hunt Transport Services, Inc.

 

70,000

 

3.300%, 8/15/2022

    71,595  
 

Penske Truck Leasing Company, LP

 

113,000

 

3.375%, 2/1/2022g

    115,332  
 

Ryder System, Inc.

 

238,000

 

3.500%, 6/1/2021

    243,149  
 

Union Pacific Corporation

 

168,000

 

3.750%, 7/15/2025

    180,960  
 

United Airlines Pass Through Trust

 

70,000

 

3.700%, 12/1/2022

    71,932  
 

United Continental Holdings, Inc.

 

960,000

 

4.875%, 1/15/2025

    1,010,016  
 

XPO Logistics, Inc.

 

300,000

 

6.125%, 9/1/2023g

    309,750  
529,000  

6.750%, 8/15/2024g

    572,643  
  Total     3,591,936  
U.S. Government & Agencies (0.1%)  
 

U.S. Treasury Notes

 
350,000  

1.750%, 6/30/2024

    353,021  
  Total     353,021  
Utilities (1.1%)  
 

Alabama Power Company

 

108,000

 

2.450%, 3/30/2022

    109,285  
 

Ameren Corporation

 

70,000

 

2.700%, 11/15/2020

    70,365  

109,000

 

2.500%, 9/15/2024

    109,553  
 

Berkshire Hathaway Energy Company

 

218,000

 

2.400%, 2/1/2020

    218,161  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

52


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (48.8%)   Value
Utilities (1.1%) - continued  
 

Calpine Corporation

 

$560,000

 

6.000%, 1/15/2022g

    $561,876  

420,000

 

5.375%, 1/15/2023

    425,250  
 

CenterPoint Energy, Inc.

 

110,000

 

2.500%, 9/1/2022

    110,763  

105,000

 

2.500%, 9/1/2024

    104,865  
 

Consolidated Edison, Inc.

 

108,000

 

2.000%, 3/15/2020

    107,941  
 

Dominion Energy, Inc.

 

110,000

 

2.715%, 8/15/2021

    110,718  

110,000

 

3.071%, 8/15/2024

    112,568  
 

DTE Energy Company

 

178,000

 

3.300%, 6/15/2022

    182,414  

164,000

 

2.529%, 10/1/2024

    164,506  
 

Duke Energy Corporation

 

216,000

 

2.400%, 8/15/2022

    218,185  

370,000

 

4.875%, 9/16/2024b,i

    378,510  
 

Edison International

 

337,000

 

2.950%, 3/15/2023

    337,725  
 

Evergy, Inc.

 

106,000

 

2.450%, 9/15/2024

    105,817  
 

Eversource Energy

 

109,000

 

2.500%, 3/15/2021

    109,341  
 

Exelon Generation Company, LLC

 

88,000

 

5.200%, 10/1/2019

    88,000  

162,000

 

2.950%, 1/15/2020

    162,221  
 

FirstEnergy Corporation

 

163,000

 

2.850%, 7/15/2022

    165,481  
 

Fortis, Inc.

 

180,000

 

2.100%, 10/4/2021

    179,400  
 

Georgia Power Company

 

106,000

 

2.200%, 9/15/2024

    104,770  
 

NextEra Energy Operating Partners, LP

 

920,000

 

3.875%, 10/15/2026g

    920,000  
 

NiSource, Inc.

 

178,000

 

3.650%, 6/15/2023

    185,838  

565,000

 

5.650%, 6/15/2023b,i

    567,825  
 

Oncor Electric Delivery Company, LLC

 

165,000

 

2.750%, 6/1/2024g

    169,438  
 

Pinnacle West Capital Corporation

 

110,000

 

2.250%, 11/30/2020

    109,924  
 

PPL Capital Funding, Inc.

 

220,000

 

3.950%, 3/15/2024

    232,244  
 

PSEG Power, LLC

 

100,000

 

3.000%, 6/15/2021

    101,016  
 

Public Service Enterprise Group, Inc.

 

110,000

 

2.875%, 6/15/2024

    112,882  
 

Southern Company

 

108,000

 

2.350%, 7/1/2021

    108,325  
 

TerraForm Power Operating, LLC

 

895,000

 

5.000%, 1/31/2028g

    930,800  
 

TransCanada Trust

 
768,000  

5.875%, 8/15/2076b

    812,437  
  Total     8,488,444  
           
  Total Long-Term Fixed Income
(cost $376,771,067)
    381,664,476  
Shares   Common Stock (25.0%)   Value
Communications Services (1.3%)  

3,749

 

Activision Blizzard, Inc.

    198,397  

1,427

 

Alphabet, Inc., Class Al

    1,742,567  

924

 

Alphabet, Inc., Class Cl

    1,126,356  

76,012

 

Auto Trader Group plcg

    476,415  
Shares   Common Stock (25.0%)   Value
Communications Services (1.3%) - continued  

5,200

 

CBS Corporation

    $209,924  

26,010

 

Comcast Corporation

    1,172,531  

12,710

 

DISH Network Corporationl

    433,030  

4,555

 

Facebook, Inc.l

    811,154  

39,000

 

HKT Trust and HKT, Ltd.

    61,867  

1,272

 

Ipsos SA

    36,235  

5,900

 

KDDI Corporation

    153,947  

38,984

 

Mediaset Espana Comunicacion SAk

    251,285  

3,234

 

Rightmove plc

    21,882  

16,932

 

Seven West Media, Ltd.l

    4,461  

18,404

 

Telenor ASA

    369,256  

61,656

 

Telstra Corporation, Ltd.

    146,153  

13,400

 

TV Asahi Holdings Corporation

    211,538  

17,804

 

Twitter, Inc.l

    733,525  

28,360

 

Verizon Communications, Inc.

    1,711,810  

3,052

 

Wolters Kluwer NV

    222,690  

7,700

 

Zillow Group, Inc.l

    227,496  
  Total     10,322,519  
Consumer Discretionary (2.2%)  

1,312

 

Alibaba Group Holding, Ltd. ADRl

    219,406  

1,248

 

Amazon.com, Inc.l

    2,166,416  

1,700

 

AOKI Holdings, Inc.

    16,395  

2,800

 

Aoyama Trading Company, Ltd.

    48,869  

4,263

 

Aptiv plc

    372,671  

2,000

 

Autobacs Seven Company, Ltd.

    32,799  

22,491

 

Barratt Developments plc

    179,042  

4,300

 

Benesse Holdings, Inc.

    112,016  

7,885

 

Berkeley Group Holdings plc

    404,849  

337

 

Booking Holdings, Inc.l

    661,400  

2,838

 

Bright Horizons Family Solutions, Inc.l

    432,795  

1,134

 

Century Casinos, Inc.l

    8,766  

3,268

 

Children’s Place, Inc.

    251,603  

2,200

 

Chiyoda Company, Ltd.

    34,557  

2,237

 

Cie Generale des Etablissements Michelin

    249,075  

43,900

 

Citizen Watch Company, Ltd.

    215,372  

1,365

 

Compass Group plc

    35,125  

4,425

 

Countryside Properties plcg

    18,266  

6,592

 

Crocs, Inc.l

    182,994  

5,419

 

D.R. Horton, Inc.

    285,635  

12,500

 

Denso Corporation

    552,343  

974

 

Emerald Expositions Events, Inc.

    9,477  

8,012

 

Etsy, Inc.l

    452,678  

900

 

Exedy Corporation

    17,647  

3,349

 

G-III Apparel Group, Ltd.l

    86,304  

8,985

 

Harley-Davidson, Inc.

    323,190  

6,308

 

Home Depot, Inc.

    1,463,582  

10,220

 

Lowe’s Companies, Inc.

    1,123,791  

2,250

 

Lululemon Athletica, Inc.l

    433,192  

770

 

McDonald’s Corporation

    165,327  

1,420

 

Mohawk Industries, Inc.l

    176,179  

39,781

 

Moneysupermarket.com Group plc

    185,002  

4,195

 

Movado Group, Inc.

    104,288  

930

 

Netflix, Inc.l

    248,887  

13,600

 

NHK Spring Company, Ltd.

    104,330  

4,920

 

NIKE, Inc.

    462,086  

107,300

 

Nissan Motor Company, Ltd.

    669,912  

5,800

 

Norwegian Cruise Line Holdings, Ltd.l

    300,266  

1,900

 

Onward Holdings Company, Ltd.

    9,899  

2,349

 

Oxford Industries, Inc.

    168,423  

7,800

 

Park24 Company, Ltd.

    181,202  

2,831

 

Playa Hotels and Resorts NVl

    22,167  

1,500

 

Plenus Company, Ltd.k

    25,200  

12,651

 

Red Rock Resorts, Inc.

    256,879  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

53


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (25.0%)   Value

 

 

Consumer Discretionary (2.2%) - continued

 

19,748

 

Redrow plc

    $149,975  

2,850

 

RHk,l

    486,866  

1,400

 

Rinnai Corporation

    94,336  

4,000

 

Sangetsu Company, Ltd.

    75,562  

24,900

 

Sekisui House, Ltd.

    491,331  

1,000

 

SHIMAMURA Company, Ltd.

    79,447  

3,550

 

Sony Corporation ADR

    209,912  

2,377

 

Starbucks Corporation

    210,174  

900

 

Sumitomo Forestry Company, Ltd.

    12,017  

34,900

 

Sumitomo Rubber Industries, Ltd.

    415,588  

6,533

 

Super Retail Group, Ltd.

    43,747  

800

 

Takara Standard Company, Ltd.

    13,244  

76,197

 

Taylor Wimpey plc

    151,245  

11,108

 

Toll Brothers, Inc.

    455,983  

16,700

 

Toyoda Gosei Company, Ltd.

    336,194  

1,600

 

United Arrows, Ltd.

    46,844  

2,655

 

WH Smith plc

    64,875  

12,100

 

Yahoo Japan Corporation

    34,090  

4,398

 

Zumiez, Inc.l

    139,307  
  Total     16,981,039  

Consumer Staples (1.7%)

 

2,400

 

Arcs Company, Ltd.

    50,464  

9,232

 

Bunge, Ltd.

    522,716  

3,110

 

Carlsberg AS

    459,590  

1,391

 

Casey’s General Stores, Inc.

    224,173  

11,648

 

Coca-Cola Company

    634,117  

12,003

 

Colgate-Palmolive Company

    882,340  

752

 

Costco Wholesale Corporation

    216,659  

23,418

 

Cott Corporation

    292,022  

3,086

 

ForFarmers BV

    19,439  

746

 

Glanbia plc

    9,269  

24,846

 

Hain Celestial Group, Inc.k,l

    533,568  

54,100

 

Japan Tobacco, Inc.

    1,185,312  

2,461

 

John B. Sanfilippo & Son, Inc.

    237,733  

2,300

 

Kimberly-Clark Corporation

    326,715  

415

 

L’Oreal SA

    116,063  

800

 

Ministop Company, Ltd.

    10,309  

3,193

 

Monster Beverage Corporationl

    185,386  

6,293

 

Nestle SA

    682,504  

7,141

 

PepsiCo, Inc.

    979,031  

5,444

 

Philip Morris International, Inc.

    413,363  

7,803

 

Procter & Gamble Company

    970,537  

6,800

 

Sugi Holdings Company, Ltd.

    369,038  

14,200

 

Sundrug Company, Ltd.

    448,058  

29,056

 

SunOpta, Inc.l

    52,301  

6,125

 

TreeHouse Foods, Inc.l

    339,631  

1,100

 

TSURUHA Holdings, Inc.

    120,124  

7,393

 

Turning Point Brands, Inc.

    170,483  

11,900

 

Unilever NV

    714,567  

19,518

 

Unilever plc

    1,173,064  

11,157

 

Wal-Mart Stores, Inc.

    1,324,113  
  Total     13,662,689  

Energy (1.4%)

 

13,639

 

BP plc ADRk

    518,146  

10,990

 

Chevron Corporation

    1,303,414  

4,967

 

Contura Energy, Inc.l

    138,877  

2,700

 

Diamondback Energy, Inc.

    242,757  

33,500

 

Enbridge, Inc.

    1,175,180  

54,304

 

Enterprise Products Partners, LP

    1,552,008  

15,425

 

EQT Corporation

    164,122  

36,260

 

Euronav NV

    333,592  

403

 

Exxon Mobil Corporation

    28,456  

495

 

Gaztransport Et Technigaz SA

    48,975  

11,808

 

Halliburton Company

    222,581  
Shares   Common Stock (25.0%)   Value

 

 

Energy (1.4%) - continued

 

36,000

 

Marathon Oil Corporation

    $441,720  

10,152

 

Marathon Petroleum Corporation

    616,734  

8,730

 

Nine Energy Service, Inc.l

    53,864  

19,251

 

Pacific Drilling SAl

    75,271  

28,725

 

Patterson-UTI Energy, Inc.

    245,599  

3,207

 

Pioneer Natural Resources Company

    403,344  

23,605

 

Royal Dutch Shell plc, Class A

    692,283  

32,374

 

Royal Dutch Shell plc, Class B

    956,823  

4,828

 

Talos Energy, Inc.l

    98,153  

46,700

 

Williams Companies, Inc.

    1,123,602  

23,630

 

WPX Energy, Inc.l

    250,242  
  Total     10,685,743  

Financials (4.4%)

 

4,004

 

AB Industrivarden

    87,592  

9,410

 

Aflac, Inc.

    492,331  

4,099

 

Allianz SE

    954,136  

16,400

 

Ally Financial, Inc.

    543,824  

1,272

 

American Express Company

    150,452  

5,475

 

American Financial Group, Inc.

    590,479  

5,700

 

American International Group, Inc.

    317,490  

2,464

 

Ameriprise Financial, Inc.

    362,454  

12,116

 

Ares Capital Corporation

    225,782  

1,397

 

Argo Group International Holdings, Ltd.

    98,125  

22,778

 

Assured Guaranty, Ltd.

    1,012,710  

1,319

 

Baloise Holding AG

    236,332  

44,223

 

Bank Leumi Le-Israel BM

    314,860  

58,013

 

Bank of America Corporation

    1,692,239  

296

 

Bank of Marin Bancorp

    12,281  

10,635

 

Bank of Montreal

    783,306  

2,361

 

Berkshire Hathaway, Inc.l

    491,135  

1,014

 

BlackRock, Inc.

    451,879  

1,624

 

BOK Financial Corporation

    128,540  

6,413

 

Bridgewater Bancshares, Inc.l

    76,571  

4,012

 

BrightSphere Investment Group

    39,759  

7,920

 

Capital One Financial Corporation

    720,562  

4,263

 

Charles Schwab Corporation

    178,321  

2,980

 

Chubb, Ltd.

    481,091  

45,511

 

CI Financial Corporation

    664,021  

20,923

 

Citigroup, Inc.

    1,445,361  

16,704

 

CNP Assurances

    322,800  

3,767

 

Cohen & Steers, Inc.

    206,921  

3,540

 

Comerica, Inc.

    233,605  

1,187

 

Community Trust Bancorp, Inc.

    50,542  

40,600

 

DBS Group Holdings, Ltd.

    734,499  

735

 

Deutsche Boerse AG

    114,630  

15,121

 

Deutsche Pfandbriefbank AGg

    184,353  

26,032

 

Direct Line Insurance Group plc

    96,045  

19,066

 

DnB ASA

    336,095  

11,975

 

E*TRADE Financial Corporation

    523,188  

1,951

 

Ellington Residential Mortgage REIT

    20,564  

8,075

 

Euronext NVg

    661,191  

295

 

FBL Financial Group, Inc.

    17,555  

24,460

 

Fifth Third Bancorp

    669,715  

355

 

Financial Institutions, Inc.

    10,714  

2,470

 

First Busey Corporation

    62,442  

728

 

First Citizens BancShares, Inc.

    343,288  

321

 

First Defiance Financial Corporation

    9,298  

136

 

First Financial Corporation

    5,912  

5,010

 

First Interstate BancSystem, Inc.

    201,602  

229

 

First Mid-Illinois Bancshares, Inc.

    7,928  

4,100

 

First Republic Bank

    396,470  

62,271

 

FlexiGroup, Ltd.

    107,375  

912

 

Goldman Sachs Group, Inc.

    188,994  

2,554

 

Golub Capital BDC, Inc.

    48,117  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

54


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (25.0%)   Value

 

 

Financials (4.4%) - continued

 

1,528

 

Great Southern Bancorp, Inc.

    $87,020  

1,835

 

Hamilton Lane, Inc.

    104,522  

17,573

 

Hartford Financial Services Group, Inc.

    1,065,100  

4,110

 

Heartland Financial USA, Inc.

    183,881  

17,431

 

Heritage Commerce Corporation

    204,901  

923

 

Hometrust Bancshares, Inc.

    24,063  

3,900

 

Horace Mann Educators Corporation

    180,687  

2,065

 

Houlihan Lokey, Inc.

    93,131  

91,655

 

HSBC Holdings plc

    702,281  

4,463

 

IBERIABANK Corporation

    337,135  

417

 

Independent Bank Corporation

    8,888  

3,190

 

Intercontinental Exchange, Inc.

    294,341  

103,476

 

Israel Discount Bank, Ltd.

    454,797  

9,607

 

J.P. Morgan Chase & Company

    1,130,648  

1,690

 

Kemper Corporation

    131,736  

31,352

 

KeyCorp

    559,320  

621

 

Lakeland Bancorp, Inc.

    9,582  

7,561

 

Laurentian Bank of Canada

    256,989  

36,249

 

Manulife Financial Corporation

    664,868  

470

 

Markel Corporationl

    555,493  

59,568

 

Medibank Private, Ltd.

    136,799  

8,263

 

Meridian Bancorp, Inc.

    154,931  

8,240

 

MetLife, Inc.

    388,598  

3,062

 

MidWestOne Financial Group, Inc.

    93,452  

487

 

Moody’s Corporation

    99,752  

6,860

 

Morgan Stanley

    292,716  

6,623

 

National Bank of Canadak

    329,538  

4,316

 

Northern Trust Corporation

    402,769  

1,942

 

Paragon Banking Group plc

    11,516  

2,007

 

Pargesa Holding SA

    154,375  

11,141

 

PCSB Financial Corporation

    222,709  

254

 

Peapack-Gladstone Financial Corporation

    7,120  

1,569

 

Primerica, Inc.

    199,624  

7,629

 

Prosight Global, Inc.l

    147,697  

2,700

 

Prudential Financial, Inc.

    242,865  

206

 

QCR Holdings, Inc.

    7,824  

15,050

 

Radian Group, Inc.

    343,742  

5,260

 

Raymond James Financial, Inc.

    433,740  

3,736

 

Royal Bank of Canada

    303,059  

820

 

S&P Global, Inc.

    200,884  

8,702

 

Santander Consumer USA Holdings, Inc.

    221,988  

8,402

 

Seacoast Banking Corporation of Floridal

    212,655  

2,200

 

Senshu Ikeda Holdings, Inc.

    3,820  

10,647

 

Skandinaviska Enskilda Banken AB

    97,832  

25,499

 

SLM Corporation

    225,029  

3,671

 

State Auto Financial Corporation

    118,904  

2,560

 

State Street Corporation

    151,526  

4,650

 

Sun Life Financial, Inc.

    207,922  

9,686

 

Synovus Financial Corporation

    346,371  

4,321

 

Topdanmark AS

    208,584  

18,448

 

Toronto-Dominion Bank

    1,075,675  

4,305

 

TrustCo Bank Corporation

    35,086  

14,300

 

U.S. Bancorp

    791,362  

5,006

 

United Community Banks, Inc.

    141,920  

210

 

Washington Trust Bancorp, Inc.

    10,145  

246

 

Wells Fargo & Company

    12,408  

20,881

 

Zions Bancorporations NA

    929,622  
  Total     34,119,418  

Health Care (3.3%)

 

3,248

 

Abbott Laboratories

    271,760  

4,530

 

Amgen, Inc.

    876,600  
Shares   Common Stock (25.0%)   Value

 

 

Health Care (3.3%) - continued

 

2,067

 

Amplifon SPA

    $50,711  

4,751

 

Anthem, Inc.

    1,140,715  

12,050

 

Bausch Health Companies, Inc.l

    263,293  

648

 

Becton, Dickinson and Company

    163,918  

602

 

Biogen, Inc.l

    140,158  

2,655

 

Catalent, Inc.l

    126,537  

1,209

 

Cigna Holding Company

    183,514  

12,857

 

CVS Health Corporation

    810,891  

11,296

 

Danaher Corporation

    1,631,481  

4,375

 

Edwards Lifesciences Corporationl

    962,106  

19,923

 

Gilead Sciences, Inc.

    1,262,720  

52,704

 

GlaxoSmithKline plc

    1,129,684  

21,442

 

Halozyme Therapeutics, Inc.l

    332,565  

704

 

Humana, Inc.

    179,992  

775

 

Illumina, Inc.l

    235,771  

557

 

Intuitive Surgical, Inc.l

    300,741  

2,450

 

Jazz Pharmaceuticals, Inc.l

    313,943  

16,442

 

Johnson & Johnson

    2,127,266  

1,100

 

KYORIN Holdings, Inc.

    18,261  

1,991

 

LHC Group, Inc.l

    226,098  

2,025

 

Ligand Pharmaceuticals, Inc.k,l

    201,569  

330

 

LNA Sante

    16,866  

17,401

 

Medtronic plc

    1,890,097  

18,500

 

Merck & Company, Inc.

    1,557,330  

5,000

 

Mitsubishi Tanabe Pharma Corporation

    55,102  

1,094

 

Neurocrine Biosciences, Inc.l

    98,580  

17,082

 

Novartis AG

    1,482,495  

26,179

 

Novo Nordisk AS

    1,352,831  

8,450

 

Optinose, Inc.l

    59,150  

1,071

 

PerkinElmer, Inc.

    91,217  

12,770

 

Pfizer, Inc.

    458,826  

9,246

 

Recordati SPA

    396,551  

4,542

 

Roche Holding AG

    1,322,470  

5,929

 

Syneos Health, Inc.l

    315,482  

3,704

 

Thermo Fisher Scientific, Inc.

    1,078,864  

7,694

 

UnitedHealth Group, Inc.

    1,672,060  

2,800

 

Universal Health Services, Inc.

    416,500  

1,148

 

Vertex Pharmaceuticals, Inc.l

    194,494  

15,434

 

Wright Medical Group NVl

    318,403  

2,492

 

Zoetis, Inc.

    310,478  
  Total     26,038,090  

Industrials (3.5%)

 

1,270

 

Aalberts NV

    50,293  

3,618

 

ACS Actividades de Construccion y Servicios, SA

    144,561  

9,773

 

AGCO Corporation

    739,816  

16,199

 

Altra Industrial Motion Corporation

    448,631  

6,726

 

AMETEK, Inc.

    617,581  

6,370

 

Arcosa, Inc.

    217,918  

4,861

 

ASGN, Inc.l

    305,562  

21,734

 

Atlas Copco AB, Class A

    669,258  

11,696

 

Atlas Copco AB, Class B

    316,717  

2,792

 

AZZ, Inc.

    121,620  

953

 

Boeing Company

    362,588  

1,919

 

CBIZ, Inc.l

    45,096  

2,287

 

CIA De Distribucion Integral

    44,563  

1,773

 

Crane Company

    142,957  

1,042

 

CSW Industrials, Inc.

    71,929  

3,996

 

CSX Corporation

    276,803  

4,783

 

Curtiss-Wright Corporation

    618,777  

11,280

 

Delta Air Lines, Inc.

    649,728  

5,823

 

EMCOR Group, Inc.

    501,477  

7,191

 

Emerson Electric Company

    480,790  

4,708

 

Encore Wire Corporation

    264,966  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

55


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (25.0%)   Value

 

 

Industrials (3.5%) - continued

 
27  

Geberit AG

    $12,903  
5,665  

General Dynamics Corporation

    1,035,165  
277  

Gorman-Rupp Company

    9,637  
1,827  

Granite Construction, Inc.

    58,702  
1,800  

GS Yuasa Corporation

    31,263  
28,732  

GWA Group, Ltd.

    65,773  
500  

Hanwa Company, Ltd.

    13,728  
5,500  

Hino Motors, Ltd.

    45,579  
12,022  

Honeywell International, Inc.

    2,034,122  
3,250  

Huntington Ingalls Industries, Inc.

    688,317  
1,402  

ICF International, Inc.

    118,427  
2,622  

IDEX Corporation

    429,693  
3,600  

Inaba Denki Sangyo Company, Ltd.

    158,081  
3,610  

Ingersoll-Rand plc

    444,788  
7,960  

Johnson Controls International plc

    349,364  
8,687  

Koninklijke Philips NV

    401,420  
8,766  

Legrand SA

    625,631  
2,478  

Lockheed Martin Corporation

    966,569  
35,200  

Marubeni Corporation

    234,748  
385  

Masonite International Corporationl

    22,330  
15,800  

Mitsubishi Corporation

    389,042  
2,800  

Mitsuboshi Belting, Ltd.

    46,099  
34,500  

Mitsui & Company, Ltd.

    566,711  
6,296  

MRC Global, Inc.l

    76,370  
11,166  

National Express Group plc

    59,447  
9,200  

Nitto Kogyo Corporation

    174,926  
4,738  

Nobina ABg

    29,611  
3,119  

Norfolk Southern Corporation

    560,360  
3,397  

Northgate plc

    13,783  
1,475  

Old Dominion Freight Line, Inc.

    250,706  
17,156  

PageGroup plc

    92,482  
2,470  

Parker Hannifin Corporation

    446,107  
16,223  

Primoris Services Corporation

    318,133  
4,168  

Raven Industries, Inc.

    139,461  
31,459  

RELX plc

    747,139  
7,202  

Ritchie Brothers Auctioneers, Inc.

    287,360  
721  

Roper Industries, Inc.

    257,109  
1,715  

Saia, Inc.l

    160,696  
5,702  

Sandvik AB

    88,769  
6,661  

Schneider Electric SE

    582,454  
15,358  

Signify NVg

    422,079  
20,996  

SKF AB

    346,710  
54,500  

Sojitz Corporation

    169,543  
14,800  

Southwest Airlines Company

    799,348  
1,474  

Spirax-Sarco Engineering plc

    142,010  
748  

Standex International Corporation

    54,559  
30,200  

Sumitomo Corporation

    472,795  
49,200  

Sumitomo Electric Industries, Ltd.

    627,862  
1,400  

Taikisha, Ltd.

    42,389  
1,858  

Teledyne Technologies, Inc.l

    598,257  
3,700  

Toppan Forms Company, Ltd.

    35,145  
2,629  

Transcontinental, Inc.

    30,718  
2,900  

Tsubakimoto Chain Company

    93,344  
212  

UniFirst Corporation

    41,365  
5,350  

United Airlines Holdings, Inc.l

    472,994  
12,569  

United Technologies Corporation

    1,715,920  
2,208  

Valmont Industries, Inc.

    305,676  
5,517  

Verisk Analytics, Inc.

    872,458  
1,033  

Waste Connections, Inc.

    95,036  
1,600  

Yuasa Trading Company, Ltd.

    45,801  
 

 

 
  Total     27,508,645  
 

 

 

Information Technology (4.8%)

 
3,503  

Accenture plc

    673,802  
1,946  

Advanced Energy Industries, Inc.l

    111,720  
47,176  

Advanced Micro Devices, Inc.l

    1,367,632  
Shares   Common Stock (25.0%)   Value

 

 

Information Technology (4.8%) - continued

 
8,900  

Akamai Technologies, Inc.l

    $813,282  
3,300  

Alliance Data Systems Corporation

    422,829  
7,808  

Amadeus IT Holding SA

    559,457  
6,150  

Amphenol Corporation

    593,475  
2,799  

ANSYS, Inc.l

    619,587  
13,501  

Apple, Inc.

    3,023,819  
610  

Arista Networks, Inc.l

    145,741  
4,568  

Automatic Data Processing, Inc.

    737,367  
3,760  

Blackline, Inc.l

    179,766  
21,900  

Canon, Inc.

    585,654  
6,530  

Capgemini SA

    768,918  
15,011  

CGI, Inc.l

    1,186,966  
17,405  

Ciena Corporationl

    682,798  
67,654  

Cisco Systems, Inc.

    3,342,784  
3,490  

Clearwater Energy, Inc.

    60,517  
2,770  

Computer Services, Inc.

    126,035  
22,884  

Computershare, Ltd.

    250,164  
5,850  

DocuSign, Inc.l

    362,232  
12,301  

Dolby Laboratories, Inc.

    795,137  
2,430  

Euronet Worldwide, Inc.l

    355,509  
432  

Fair Isaac Corporationl

    131,121  
1,167  

Fiserv, Inc.l

    120,889  
28,290  

Halma plc

    684,768  
362  

International Business Machines Corporation

    52,642  
2,619  

Intuit, Inc.

    696,497  
3,250  

KLA-Tencor Corporation

    518,212  
1,512  

Lam Research Corporation

    349,438  
5,183  

Lattice Semiconductor Corporationl

    94,771  
4,983  

MasterCard, Inc.

    1,353,233  
32,152  

Micron Technology, Inc.l

    1,377,713  
33,895  

Microsoft Corporation

    4,712,422  
308  

MicroStrategy, Inc.l

    45,698  
821  

Monolithic Power Systems, Inc.

    127,772  
3,043  

Motorola Solutions, Inc.

    518,558  
6,568  

National Instruments Corporation

    275,790  
4,800  

NEC Networks & System Integration Corporation

    130,720  
1,550  

Nice, Ltd. ADRl

    222,890  
1,210  

NVIDIA Corporation

    210,625  
16,908  

Oracle Corporation

    930,447  
3,860  

PayPal Holdings, Inc.l

    399,857  
5,353  

Plexus Corporationl

    334,616  
4,150  

QUALCOMM, Inc.

    316,562  
1,925  

Rogers Corporationl

    263,167  
1,900  

Ryoyo Electro Corporation

    32,592  
8,957  

SailPoint Technologies Holdings, Inc.l

    167,406  
2,063  

Salesforce.com, Inc.l

    306,232  
338  

Samsung Electronics Company, Ltd. GDR

    344,382  
9,400  

Shinko Electric Industries Company, Ltd.

    80,671  
1,916  

Square, Inc.l

    118,696  
4,328  

Synopsys, Inc.l

    594,018  
5,437  

TE Connectivity, Ltd.

    506,620  
8,100  

Teradata Corporationl

    251,100  
8,200  

Teradyne, Inc.

    474,862  
12,232  

Texas Instruments, Inc.

    1,580,864  
980  

TTM Technologies, Inc.l

    11,951  
1,247  

VeriSign, Inc.l

    235,222  
5,552  

Virtusa Corporationl

    199,983  
4,314  

Visa, Inc.

    742,051  
532  

Workday, Inc.l

    90,419  
 

 

 
  Total     37,370,668  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

56


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (25.0%)   Value

 

 

Materials (0.9%)

 

9,420  

Alcoa Corporationl

    $189,059  
1,343  

Balchem Corporation

    133,212  
6,500  

Ball Corporation

    473,265  
21,311  

BHP Group, Ltd.

    526,607  
3,188  

Boise Cascade Company

    103,897  
9,690  

CF Industries Holdings, Inc.

    476,748  
7,510  

Eastman Chemical Company

    554,463  
4,058  

Ecolab, Inc.

    803,646  
9,410  

Granges AB

    96,030  
1,736  

Hexpol AB

    13,325  
2,400  

Hokuetsu Corporation

    12,060  
13,900  

JSR Corporation

    223,801  
1,093  

Kadant, Inc.

    95,954  
836  

Kaiser Aluminum Corporation

    82,739  
4,213  

Koninklijke DSM NV

    507,171  
9,200  

Kyoei Steel, Ltd.

    173,347  
1,500  

Lintec Corporation

    29,860  
12,552  

Louisiana-Pacific Corporation

    308,528  
9,200  

Mitsubishi Gas Chemical Company, Inc.

    123,739  
1,200  

Nippon Kayaku Company, Ltd.

    14,389  
38,100  

Nippon Steel Corporation

    533,870  
4,010  

Nucor Corporation

    204,149  
916  

PPG Industries, Inc.

    108,555  
20,713  

Sandfire Resources NL

    91,815  
500  

Sanyo Special Steel Company, Ltd.

    6,703  
10,700  

Steel Dynamics, Inc.

    318,860  
1,400  

Taiyo Holdings Company, Ltd.

    47,327  
6,300  

Toagosei Company, Ltd.

    71,441  
1,961  

United States Lime & Minerals, Inc.

    150,016  
6,882  

UPM-Kymmene Oyj

    203,217  
9,002  

Verso Corporationl

    111,445  
 

 

 
  Total     6,789,238  
 

 

 

Real Estate (1.0%)

 
2,528  

Agree Realty Corporation

    184,923  
3,133  

Alexandria Real Estate Equities, Inc.

    482,607  
3,255  

Allied Properties REIT

    131,615  
3,252  

Alstria Office REIT AG

    55,791  
7,047  

American Campus Communities, Inc.

    338,820  
2,018  

American Tower Corporation

    446,240  
5,676  

Apple Hospitality REIT, Inc.

    94,108  
25,300  

Ascendas REIT

    57,138  
4,891  

Camden Property Trust

    542,950  
7,462  

Castellum AB

    159,754  
3,592  

Choice Properties REIT

    39,151  
88  

Cofinimmo SA

    12,392  
1,077  

CoreSite Realty Corporation

    131,233  
6,763  

Cousins Properties, Inc.

    254,221  
3,900  

Daito Trust Construction Company, Ltd.

    499,506  
756  

Deutsche EuroShop AG

    21,325  
2,531  

Digital Realty Trust, Inc.

    328,549  
11,494  

Duke Realty Corporation

    390,451  
988  

Entra ASAg

    15,496  
1,458  

First Capital Realty, Inc.

    24,288  
30  

GLP J-Reit

    39,787  
5,425  

Granite REIT

    262,682  
1,864  

H&R REIT

    32,543  
27,845  

Host Hotels & Resorts, Inc.

    481,440  
54,000  

Hysan Development Company, Ltd.

    217,762  
13,948  

Klepierre SA

    473,682  
298  

LEG Immobilien AG

    34,101  
24,200  

Mapletree Commercial Trust

    40,117  
16,200  

Mapletree Logistics Trust

    18,991  
4,863  

Merlin Properties Socimi SA

    67,894  
Shares   Common Stock (25.0%)   Value

 

 

Real Estate (1.0%) - continued

 
20,030  

MGIC Investment Corporation

    $251,977  
139,127  

Mirvac Group

    287,418  
7,447  

Physicians Realty Trust

    132,184  
2,238  

PSP Swiss Property AG

    284,141  
5,775  

QTS Realty Trust, Inc.

    296,893  
4,902  

Quebecor, Inc.

    111,297  
4,135  

RioCan REIT

    82,335  
17,000  

Road King Infrastructure, Ltd.

    28,717  
965  

Swiss Prime Site AG

    94,439  
7,075  

TAG Immobilien AG

    161,456  
1,899  

Terreno Realty Corporation

    97,020  
39,000  

Wing Tai Holdings, Ltd.

    57,841  
 

 

 
  Total     7,765,275  
 

 

 

Utilities (0.5%)

 

32,047  

AGL Energy, Ltd.

    414,591  
7,900  

Alliant Energy Corporation

    426,047  
6,650  

CMS Energy Corporation

    425,268  
7,188  

Contact Energy, Ltd.

    38,444  
19,371  

Enagas SA

    447,791  
4,450  

Entergy Corporation

    522,252  
17,898  

Exelon Corporation

    864,652  
2,574  

New Jersey Resources Corporation

    116,396  
2,580  

Northland Power, Inc.

    49,503  
1,826  

NorthWestern Corporation

    137,041  
4,272  

PNM Resources, Inc.

    222,486  
5,600  

Public Service Enterprise Group, Inc.

    347,648  
1,713  

Spire, Inc.

    149,442  
381  

Unitil Corporation

    24,171  
 

 

 
  Total     4,185,732  
 

 

 
   
 

 

 
 

Total Common Stock

(cost $179,317,669)

    195,429,056  
 

 

 
Shares  

Registered Investment Companies

(7.3%)

  Value

 

 

Unaffiliated (2.2%)

 
1,910  

Consumer Discretionary Select Sector SPDR Fund

    230,537  
69,000  

Invesco Senior Loan ETF

    1,558,710  
2,286  

iShares Russell 2000 Value Index Fund

    272,971  
3,446  

Materials Select Sector SPDR Fund

    200,557  
25,640  

SPDR BBG Barclay’s Convertible Securities ETF

    1,344,818  
39,880  

SPDR Bloomberg Barclays High Yield Bond ETFk

    4,336,551  
4,412  

SPDR S&P Metals & Mining ETF

    112,286  
2,099  

SPDR S&P Retail ETF

    89,061  
10,043  

VanEck Vectors Oil Services ETF

    118,005  
25,000  

Vanguard High Dividend Yield ETF

    2,218,250  
14,785  

Vanguard Real Estate ETF

    1,378,701  
62,375  

Vanguard Short-Term Corporate Bond ETF

    5,055,494  
 

 

 
  Total     16,915,941  
 

 

 

Affiliated (5.1%)

 
4,099,148  

Thrivent Core Emerging Markets Debt Fund

    40,212,639  
 

 

 
  Total     40,212,639  
 

 

 
   
 

 

 
 

Total Registered Investment

Companies (cost $55,533,822)

    57,128,580  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

57


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Preferred Stock (2.1%)   Value

 

 

Communications Services (0.1%)

 
695  

Crown Castle International Corporation, Convertible, 6.875%

    $878,515  
 

 

 
  Total     878,515  
 

 

 

Consumer Staples (0.2%)

 
26,000  

CHS, Inc., 6.750%b,i

    684,320  
31,200  

CHS, Inc., 7.100%b,i

    830,232  
 

 

 
  Total     1,514,552  
 

 

 

Energy (0.3%)

 
195,459  

Crestwood Equity Partners, LP, 9.250%i

    1,805,064  
5,300  

Energy Transfer Operating, LP, 7.600%b,i

    134,302  
23,309  

Nustar Logistics, LP, 9.037%b

    603,470  
 

 

 
  Total     2,542,836  
 

 

 

Financials (1.1%)

 
6,475  

Agribank FCB, 6.875%b,i

    692,825  
15,500  

Allstate Corporation, 5.100%i

    407,030  
13,200  

Bank of America Corporation, 5.000%i,k

    338,712  
284  

Bank of America Corporation, Convertible, 7.250%i

    425,776  
14,875  

Capital One Financial Corporation, 5.000%i,l

    371,429  
8,650  

Cobank ACB, 6.250%b,i

    908,250  
16,623  

Federal National Mortgage Association, 0.000%i,k,l

    221,917  
635  

First Tennessee Bank NA, 3.750%b,g,i

    463,550  
29,050  

GMAC Capital Trust I, 7.943%b

    761,400  
16,585  

Hartford Financial Services Group, Inc., 7.875%b,k

    483,619  
22,200  

Morgan Stanley, 7.125%b,i

    637,140  
13,500  

Regions Financial Corporation, 5.700%b,i,k

    381,915  
2,675  

Synovus Financial Corporation, 5.875%b,i

    71,369  
1,641  

Wells Fargo & Company, Convertible,
7.500%i,k

    2,498,406  
 

 

 
  Total     8,663,338  
 

 

 

Health Care (0.1%)

 
582  

Danaher Corporation, Convertible, 4.750%k

    660,203  
 

 

 
  Total     660,203  
 

 

 

Industrials (<0.1%)

 
234  

Fortive Corporation, Convertible, 5.000%

    211,098  
 

 

 
  Total     211,098  
 

 

 

Real Estate (0.1%)

 
15,285  

Colony Capital, Inc., 8.750%i

    386,558  
 

 

 
  Total     386,558  
 

 

 

Utilities (0.2%)

 

268  

Sempra Energy, Convertible, 6.000%

    31,678  
23,106  

Southern Company, Convertible, 6.750%l

    1,236,402  
 

 

 
  Total     1,268,080  
 

 

 
   
 

 

 
 

Total Preferred Stock

(cost $15,209,349)

    16,125,180  
 

 

 
Shares   Collateral Held for Securities Loaned
(1.1%)
  Value

 

 
8,469,294  

Thrivent Cash Management Trust

    $8,469,294  
 

 

 
 

Total Collateral Held for Securities Loaned

(cost $8,469,294)

    8,469,294  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (14.9%)   Value

 

 
 

Federal Home Loan Bank Discount Notes

 

200,000

 

2.190%, 10/2/2019m,n

    199,989  

300,000

 

1.950%, 10/16/2019m,n

    299,765  

300,000

 

1.995%, 10/30/2019m,n

    299,546  

800,000

 

1.980%, 11/5/2019m,n

    798,538  

300,000

 

1.990%, 11/8/2019m,n

    299,405  

500,000

 

1.910%, 12/5/2019m,n

    498,312  

700,000

 

1.920%, 12/11/2019m,n

    697,418  
 

Thrivent Core Short-Term Reserve Fund

 

11,381,725

 

2.230%

    113,817,254  
 

 

 
 

Total Short-Term Investments

(cost $116,909,971)

    116,910,227  
 

 

 
 

Total Investments

(cost $849,017,864) 111.3%

    $870,197,257  
 

 

 
  Other Assets and Liabilities, Net
(11.3%)
    (88,113,962
 

 

 
  Total Net Assets 100.0%     $782,083,295  
 

 

 

 

a

The stated interest rate represents the weighted average of all contracts within the bank loan facility.

b

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

c

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

d

All or a portion of the loan is unfunded.

e

Denotes investments purchased on a when-issued or delayed delivery basis.

f

In bankruptcy. Interest is not being accrued.

g

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $150,543,588 or 19.2% of total net assets.

h

Denotes step coupon securities. Step coupon securities pay an initial coupon rate for the first period and then different coupon rates for following periods. The rate shown is as of September 30, 2019.

i

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

j

Denotes interest only security. Interest only securities represent the right to receive monthly interest payments on an underlying pool of mortgages or assets. The principal shown is the outstanding par amount of the pool as of the end of the period. The actual effective yield of the security is different than the stated coupon rate.

k

All or a portion of the security is on loan.

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

58


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

l

Non-income producing security.

m

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

n

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Diversified Income Plus Portfolio as of September 30, 2019:

 

Securities Lending Transactions

  

Common Stock

     $4,533,332  

Long-Term Fixed Income

     3,694,434  

Total lending

     $8,227,766  

Gross amount payable upon return of collateral for securities loaned

     $8,469,294  

Net amounts due to counterparty

     $241,528  

 

 

Definitions:      
ADR    -    American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
CLO    -    Collateralized Loan Obligation
ETF    -    Exchange Traded Fund
GDR    -    Global Depository Receipts, which are certificates for shares of an underlying foreign security’s shares held by an issuing depository bank from more than one country.
REMIC    -    Real Estate Mortgage Investment Conduit
REIT    -    Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Ser.    -    Series
SPDR    -    S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.

 

Reference Rate Index:
12 MTA    -    12 Month Treasury Average
CMT 1Y    -    Constant Maturity Treasury Yield 1 Year
COF 11    -    11th District Cost of Funds

H15T30Y

   -   

U. S. Treasury Yield Curve Rate Treasury Note Constant Maturity 30 Year

LIBOR 1W    -    ICE Libor USD Rate 1 Week
LIBOR 1M    -    ICE Libor USD Rate 1 Month
LIBOR 2M    -    ICE Libor USD Rate 2 Month
LIBOR 3M    -    ICE Libor USD Rate 3 Month
PRIME    -    Federal Reserve Prime Loan Rate
USISDA 10Y    -    ICE Swap USD Rate 10 Year

    

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

59


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Diversified Income Plus Portfolio’s assets carried at fair value.

 

Investments in Securities    Total      Level 1      Level 2      Level 3  

Bank Loans

           

Basic Materials

     3,615,327               3,067,164        548,163  

Capital Goods

     7,086,029               6,492,018        594,011  

Communications Services

     24,037,347               22,617,831        1,419,516  

Consumer Cyclical

     14,739,487               12,855,173        1,884,314  

Consumer Non-Cyclical

     16,350,207               16,350,207         

Energy

     7,084,220               6,635,179        449,041  

Financials

     13,604,618               12,840,095        764,523  

Technology

     6,133,538               6,133,538         

Utilities

     1,819,671               1,425,194        394,477  

Long-Term Fixed Income

           

Asset-Backed Securities

     36,777,223               36,777,223         

Basic Materials

     6,519,888               6,519,888         

Capital Goods

     17,708,422               17,708,422         

Collateralized Mortgage Obligations

     68,810,979               68,810,979         

Communications Services

     25,387,510               25,387,510         

Consumer Cyclical

     22,894,265               22,894,265         

Consumer Non-Cyclical

     21,443,553               21,443,553         

Energy

     19,485,381               19,485,381         

Financials

     56,512,705               54,487,935        2,024,770  

Mortgage-Backed Securities

     78,490,841               78,490,841         

Technology

     15,200,308               15,200,308         

Transportation

     3,591,936               3,591,936         

U.S. Government & Agencies

     353,021               353,021         

Utilities

     8,488,444               8,488,444         

Common Stock

           

Communications Services

     10,322,519        8,366,790        1,955,729         

Consumer Discretionary

     16,981,039        11,880,644        5,100,395         

Consumer Staples

     13,662,689        8,304,888        5,357,801         

Energy

     10,685,743        8,987,662        1,698,081         

Financials

     34,119,418        23,914,128        10,205,290         

Health Care

     26,038,090        20,213,119        5,824,971         

Industrials

     27,508,645        19,475,268        8,033,377         

Information Technology

     37,370,668        32,746,376        4,624,292         

Materials

     6,789,238        4,114,536        2,674,702         

Real Estate

     7,765,275        4,453,616        3,311,659         

Utilities

     4,185,732        3,235,403        950,329         

Registered Investment Companies

           

Unaffiliated

     16,915,941        16,915,941                

Preferred Stock

           

Communications Services

     878,515        878,515                

Consumer Staples

     1,514,552        1,514,552                

Energy

     2,542,836        2,542,836                

Financials

     8,663,338        6,598,713        2,064,625         

Health Care

     660,203        660,203                

Industrials

     211,098        211,098                

Real Estate

     386,558        386,558                

Utilities

     1,268,080        1,268,080                

Short-Term Investments

     3,092,973               3,092,973         

Subtotal Investments in Securities

     $707,698,070        $176,668,926        $522,950,329        $8,078,815  
                   
Other Investments *      Total  

Affiliated Short-Term Investments

     113,817,254  

Affiliated Registered Investment Companies

     40,212,639  

Collateral Held for Securities Loaned

     8,469,294  

Subtotal Other Investments

     $162,499,187  
          

Total Investments at Value

     $870,197,257  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.
60


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Other Financial Instruments    Total      Level 1      Level 2      Level 3  

Asset Derivatives

           

Futures Contracts

     363,035        363,035                

Total Asset Derivatives

             $363,035                $363,035                $–                $–  

Liability Derivatives

           

Futures Contracts

     566,163        566,163                

Total Liability Derivatives

     $566,163        $566,163                $–                $–  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

The following table presents Diversified Income Plus Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $3,092,973 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description   

Number of
Contracts

Long/(Short)

   

Expiration

Date

     Notional Principal
Amount
    Value and
Unrealized
 

CBOT 10-Yr. U.S. Treasury Note

     239       December 2019        $31,466,613       ($321,926

CBOT 2-Yr. U.S. Treasury Note

     104       December 2019        22,463,507       (51,507

CBOT 5-Yr. U.S. Treasury Note

       51       December 2019        6,115,751       (39,180

CBOT U.S. Long Bond

       62       December 2019        10,146,890       (83,515

CME Euro Foreign Exchange Currency

       50       December 2019        6,917,001       (65,439

CME Ultra Long Term U.S. Treasury Bond

         1       December 2019        193,293       (1,386

Eurex Euro STOXX 50 Index

     181       December 2019        6,921,731       91,632  

ICE mini MSCI EAFE Index

         7       December 2019        667,650       (3,210

Total Futures Long Contracts

                      $84,892,436       ($474,531

CME E-mini Russell 2000 Index

     (73)       December 2019        ($5,783,343     $217,093  

CME E-mini S&P 500 Index

     (37)       December 2019        (5,564,535     54,310  

Total Futures Short Contracts

                      ($11,347,878     $271,403  

Total Futures Contracts

                      $73,544,558       ($203,128

 

Reference Description:

CBOT

     -      Chicago Board of Trade

CME

     -      Chicago Mercantile Exchange

EAFE

     -      Europe, Australasia and Far East

ICE

     -      Intercontinental Exchange

MSCI

     -      Morgan Stanley Capital International

S&P

     -      Standard & Poor’s

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.    

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Diversified Income Plus Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Registered Investment Companies

                 

Core Emerging Markets Debt

     $35,092        $2,430        $–        $40,213        4,099        5.1%  

Total Affiliated Registered Investment Companies

     35,092                          40,213                 5.1  

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     81,292        225,108        192,583        113,817        11,382        14.5  

Total Affiliated Short-Term Investments

     81,292                          113,817                 14.5  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     4,779        102,179        98,489        8,469        8,469        1.1  

Total Collateral Held for Securities Loaned

     4,779                          8,469                 1.1  

Total Value

     $121,163                          $162,499                    

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

61


DIVERSIFIED INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Registered Investment Companies

           

Core Emerging Markets Debt

     $–        $2,690               $1,298  

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

                          1,832  

Total Income from Affiliated Investments

                                $3,130  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          30  

Total Affiliated Income from Securities Loaned, Net

                                $30  

Total Value

     $–        $2,690        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.
62


GLOBAL STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (81.0%)   Value

 

 

Communications Services (6.6%)

 

74,500

 

Activision Blizzard, Inc.

    $3,942,540  

15,942

 

Alphabet, Inc., Class Aa

    19,467,414  

3,316

 

Alphabet, Inc., Class Ca

    4,042,204  

525,329

 

Auto Trader Group plcb

    3,292,569  

35,528

 

CBS Corporation

    1,434,265  

172,114

 

Comcast Corporation

    7,758,899  

61,143

 

Facebook, Inc.a

    10,888,346  

267,000

 

HKT Trust and HKT, Ltd.

    423,548  

8,758

 

Ipsos SA

    249,484  

40,500

 

KDDI Corporation

    1,056,756  

267,790

 

Mediaset Espana Comunicacion SAc

    1,726,137  

22,317

 

Rightmove plc

    151,001  

116,927

 

Seven West Media, Ltd.a

    30,808  

127,156

 

Telenor ASA

    2,551,245  

423,535

 

Telstra Corporation, Ltd.

    1,003,975  

93,400

 

TV Asahi Holdings Corporation

    1,474,450  

187,043

 

Verizon Communications, Inc.

    11,289,916  

21,018

 

Wolters Kluwer NV

    1,533,584  
  Total     72,317,141  

Consumer Discretionary (9.9%)

 

26,262

 

Alibaba Group Holding, Ltd. ADRa

    4,391,794  

16,305

 

Amazon.com, Inc.a

    28,304,013  

11,400

 

AOKI Holdings, Inc.

    109,945  

19,000

 

Aoyama Trading Company, Ltd.

    331,611  

29,258

 

Aptiv plc

    2,557,734  

13,200

 

Autobacs Seven Company, Ltd.

    216,471  

155,599

 

Barratt Developments plc

    1,238,662  

29,700

 

Benesse Holdings, Inc.

    773,689  

54,346

 

Berkeley Group Holdings plc

    2,790,351  

14,500

 

Chiyoda Company, Ltd.

    227,763  

15,388

 

Cie Generale des Etablissements Michelin

    1,713,353  

301,600

 

Citizen Watch Company, Ltd.

    1,479,641  

9,418

 

Compass Group plc

    242,350  

30,768

 

Countryside Properties plcb

    127,009  

36,845

 

D.R. Horton, Inc.

    1,942,100  

86,600

 

Denso Corporation

    3,826,630  

6,400

 

Exedy Corporation

    125,488  

61,427

 

Harley-Davidson, Inc.

    2,209,529  

25,271

 

Home Depot, Inc.

    5,863,377  

68,364

 

Lowe’s Companies, Inc.

    7,517,305  

9,404

 

Mohawk Industries, Inc.a

    1,166,754  

274,852

 

Moneysupermarket.com Group plc

    1,278,200  

18,209

 

Netflix, Inc.a

    4,873,093  

93,500

 

NHK Spring Company, Ltd.

    717,272  

96,580

 

NIKE, Inc.

    9,070,794  

745,000

 

Nissan Motor Company, Ltd.

    4,651,300  

13,800

 

Onward Holdings Company, Ltd.

    71,898  

53,700

 

Park24 Company, Ltd.

    1,247,506  

10,000

 

Plenus Company, Ltd.c

    167,998  

136,620

 

Redrow plc

    1,037,551  

9,700

 

Rinnai Corporation

    653,611  

27,300

 

Sangetsu Company, Ltd.

    515,708  

172,500

 

Sekisui House, Ltd.

    3,403,802  

6,800

 

SHIMAMURA Company, Ltd.

    540,242  

24,000

 

Sony Corporation ADR

    1,419,120  

47,680

 

Starbucks Corporation

    4,215,866  

6,400

 

Sumitomo Forestry Company, Ltd.

    85,456  

241,900

 

Sumitomo Rubber Industries, Ltd.

    2,880,539  

45,116

 

Super Retail Group, Ltd.

    302,112  

5,200

 

Takara Standard Company, Ltd.

    86,085  

523,408

 

Taylor Wimpey plc

    1,038,923  

115,700

 

Toyoda Gosei Company, Ltd.

    2,329,201  

200

 

TS Tech Company, Ltd.

    6,117  

11,200

 

United Arrows, Ltd.

    327,910  
Shares   Common Stock (81.0%)   Value

 

 

Consumer Discretionary (9.9%) - continued

 

18,367

 

WH Smith plc

    $448,797  

83,600

 

Yahoo Japan Corporation

    235,533  
  Total     108,760,203  

Consumer Staples (4.9%)

 

16,400

 

Arcs Company, Ltd.

    344,835  

21,494

 

Carlsberg AS

    3,176,342  

21,277

 

ForFarmers BV

    134,028  

5,160

 

Glanbia plc

    64,115  

374,400

 

Japan Tobacco, Inc.

    8,202,970  

14,259

 

Kimberly-Clark Corporation

    2,025,491  

2,884

 

L’Oreal SA

    806,568  

5,200

 

Ministop Company, Ltd.

    67,008  

63,486

 

Monster Beverage Corporationa

    3,685,997  

43,231

 

Nestle SA

    4,688,598  

44,504

 

Philip Morris International, Inc.

    3,379,189  

47,100

 

Sugi Holdings Company, Ltd.

    2,556,134  

97,300

 

Sundrug Company, Ltd.

    3,070,143  

7,600

 

TSURUHA Holdings, Inc.

    829,947  

82,005

 

Unilever NV

    4,924,205  

134,841

 

Unilever plc

    8,104,167  

63,732

 

Wal-Mart Stores, Inc.

    7,563,714  
  Total     53,623,451  

Energy (3.2%)

 

90,546

 

BP plc ADRc

    3,439,843  

73,763

 

Chevron Corporation

    8,748,292  

4,057

 

Enterprise Products Partners, LP

    115,949  

3,418

 

Gaztransport Et Technigaz SA

    338,172  

80,773

 

Halliburton Company

    1,522,571  

245,040

 

Marathon Oil Corporation

    3,006,641  

69,335

 

Marathon Petroleum Corporation

    4,212,101  

22,100

 

Pioneer Natural Resources Company

    2,779,517  

163,891

 

Royal Dutch Shell plc, Class A

    4,806,564  

225,731

 

Royal Dutch Shell plc, Class B

    6,671,546  
  Total     35,641,196  

Financials (14.1%)

 

27,718

 

AB Industrivarden

    606,360  

63,931

 

Aflac, Inc.

    3,344,870  

28,375

 

Allianz SE

    6,604,928  

34,664

 

American International Group, Inc.

    1,930,785  

9,132

 

Baloise Holding AG

    1,636,224  

305,537

 

Bank Leumi Le-Israel BM

    2,175,371  

453,965

 

Bank of America Corporation

    13,242,159  

73,483

 

Bank of Montreal

    5,412,289  

53,226

 

Capital One Financial Corporation

    4,842,502  

85,811

 

Charles Schwab Corporation

    3,589,474  

18,686

 

Chubb, Ltd.

    3,016,668  

315,979

 

CI Financial Corporation

    4,610,238  

140,717

 

Citigroup, Inc.

    9,720,730  

115,676

 

CNP Assurances

    2,235,402  

23,002

 

Comerica, Inc.

    1,517,902  

281,500

 

DBS Group Holdings, Ltd.

    5,092,649  

5,046

 

Deutsche Boerse AG

    786,972  

104,373

 

Deutsche Pfandbriefbank AGb

    1,272,503  

180,324

 

Direct Line Insurance Group plc

    665,304  

132,291

 

DnB ASA

    2,332,024  

55,810

 

Euronext NVb

    4,569,791  

163,751

 

Fifth Third Bancorp

    4,483,502  

429,454

 

FlexiGroup, Ltd.

    740,513  

6,219

 

Goldman Sachs Group, Inc.

    1,288,763  

58,563

 

Hartford Financial Services Group, Inc.

    3,549,503  

630,756

 

HSBC Holdings plc

    4,832,991  

62,787

 

Intercontinental Exchange, Inc.

    5,793,357  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

63


GLOBAL STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (81.0%)   Value

 

 

Financials (14.1%) - continued

 

714,920

  

Israel Discount Bank, Ltd.

    $3,142,209  

48,203

  

J.P. Morgan Chase & Company

    5,673,011  

50,166

  

Laurentian Bank of Canadac

    1,705,080  

250,945

  

Manulife Financial Corporation

    4,602,758  

409,192

  

Medibank Private, Ltd.

    939,718  

55,388

  

MetLife, Inc.

    2,612,098  

47,056

  

Morgan Stanley

    2,007,880  

45,580

  

National Bank of Canadac

    2,267,905  

13,422

  

Paragon Banking Group plc

    79,592  

13,071

  

Pargesa Holding SA

    1,005,401  

18,415

  

Prudential Financial, Inc.

    1,656,429  

36,064

  

Raymond James Financial, Inc.

    2,973,837  

25,742

  

Royal Bank of Canada

    2,088,155  

16,165

  

S&P Global, Inc.

    3,960,102  

15,100

  

Senshu Ikeda Holdings, Inc.

    26,219  

73,870

  

Skandinaviska Enskilda Banken AB

    678,770  

17,047

  

State Street Corporation

    1,009,012  

32,158

  

Sun Life Financial, Inc.

    1,437,929  

29,978

  

Topdanmark AS

    1,447,105  

127,405

  

Toronto-Dominion Bank

    7,428,793  

96,320

  

U.S. Bancorp

    5,330,349  

57,345

  

Zions Bancorporations NA

    2,552,999  
   Total     154,519,125  

Health Care (11.1%)

 

63,624

  

Abbott Laboratories

    5,323,420  

14,245

  

Amplifon SPA

    349,484  

4,199

  

Biogen, Inc.a

    977,611  

8,253

  

Cigna Holding Company

    1,252,723  

86,684

  

CVS Health Corporation

    5,467,160  

20,061

  

Edwards Lifesciences Corporationa

    4,411,614  

80,422

  

Gilead Sciences, Inc.

    5,097,146  

359,702

  

GlaxoSmithKline plc

    7,710,032  

12,801

  

Illumina, Inc.a

    3,894,320  

10,883

  

Intuitive Surgical, Inc.a

    5,876,058  

51,960

  

Johnson & Johnson

    6,722,585  

7,000

  

KYORIN Holdings, Inc.

    116,205  

2,275

  

LNA Sante

    116,270  

64,775

  

Medtronic plc

    7,035,860  

119,666

  

Merck & Company, Inc.

    10,073,484  

34,500

  

Mitsubishi Tanabe Pharma Corporation

    380,201  

117,818

  

Novartis AG

    10,225,070  

180,397

  

Novo Nordisk AS

    9,322,229  

86,482

  

Pfizer, Inc.

    3,107,298  

63,881

  

Recordati SPA

    2,739,788  

31,350

  

Roche Holding AG

    9,128,014  

12,558

  

Thermo Fisher Scientific, Inc.

    3,657,769  

39,136

  

UnitedHealth Group, Inc.

    8,505,036  

22,763

  

Vertex Pharmaceuticals, Inc.a

    3,856,507  

49,061

  

Zoetis, Inc.

    6,112,510  
   Total     121,458,394  

Industrials (9.5%)

 

8,724

  

Aalberts NV

    345,480  

25,050

  

ACS Actividades de Construccion y Servicios, SA

    1,000,901  

150,181

  

Atlas Copco AB, Class A

    4,624,545  

80,669

  

Atlas Copco AB, Class B

    2,184,441  

6,436

  

Boeing Company

    2,448,705  

15,805

  

CIA De Distribucion Integral

    307,962  

27,020

  

CSX Corporation

    1,871,675  

76,687

  

Delta Air Lines, Inc.

    4,417,171  

188

  

Geberit AG

    89,842  

17,460

  

General Dynamics Corporation

    3,190,466  

12,100

  

GS Yuasa Corporation

    210,156  
Shares    Common Stock (81.0%)   Value

 

 

Industrials (9.5%) - continued

 

197,964

  

GWA Group, Ltd.

    $453,179  

3,200

  

Hanwa Company, Ltd.

    87,858  

38,000

  

Hino Motors, Ltd.

    314,909  

66,707

  

Honeywell International, Inc.

    11,286,824  

25,000

  

Inaba Denki Sangyo Company, Ltd.

    1,097,784  

24,220

  

Ingersoll-Rand plc

    2,984,146  

53,502

  

Johnson Controls International plc

    2,348,203  

60,017

  

Koninklijke Philips NV

    2,773,340  

60,687

  

Legrand SA

    4,331,242  

8,743

  

Lockheed Martin Corporation

    3,410,295  

251,800

  

Marubeni Corporation

    1,679,246  

108,400

  

Mitsubishi Corporation

    2,669,124  

19,000

  

Mitsuboshi Belting, Ltd.

    312,815  

237,600

  

Mitsui & Company, Ltd.

    3,902,917  

76,893

  

National Express Group plc

    409,372  

63,600

  

Nitto Kogyo Corporation

    1,209,270  

32,771

  

Nobina ABb

    204,805  

35,542

  

Norfolk Southern Corporation

    6,385,476  

23,378

  

Northgate plc

    94,856  

118,531

  

PageGroup plc

    638,962  

17,113

  

Parker Hannifin Corporation

    3,090,779  

217,191

  

RELX plc

    5,158,200  

39,310

  

Sandvik AB

    611,977  

45,912

  

Schneider Electric SE

    4,014,656  

106,109

  

Signify NVb

    2,916,161  

145,082

  

SKF AB

    2,395,761  

374,600

  

Sojitz Corporation

    1,165,335  

10,170

  

Spirax-Sarco Engineering plc

    979,811  

208,500

  

Sumitomo Corporation

    3,264,164  

339,400

  

Sumitomo Electric Industries, Ltd.

    4,331,229  

9,200

  

Taikisha, Ltd.

    278,557  

25,300

  

Toppan Forms Company, Ltd.

    240,316  

18,207

  

Transcontinental, Inc.

    212,737  

19,800

  

Tsubakimoto Chain Company

    637,312  

52,325

  

United Technologies Corporation

    7,143,409  

11,700

  

Yuasa Trading Company, Ltd.

    334,922  
   Total     104,061,293  

Information Technology (15.1%)

 

53,866

  

Amadeus IT Holding SA

    3,859,598  

80,595

  

Apple, Inc.

    18,050,862  

150,600

  

Canon, Inc.

    4,027,372  

45,029

  

Capgemini SA

    5,302,235  

104,695

  

CGI, Inc.a

    8,278,559  

333,787

  

Cisco Systems, Inc.

    16,492,416  

158,150

  

Computershare, Ltd.

    1,728,869  

22,721

  

Fiserv, Inc.a

    2,353,669  

195,440

  

Halma plc

    4,730,684  

13,028

  

Intuit, Inc.

    3,464,666  

39,748

  

MasterCard, Inc.

    10,794,364  

242,778

  

Microsoft Corporation

    33,753,425  

33,400

  

NEC Networks & System Integration Corporation

    909,596  

23,928

  

NVIDIA Corporation

    4,165,147  

54,575

  

Oracle Corporation

    3,003,262  

76,158

  

PayPal Holdings, Inc.a

    7,889,207  

27,603

  

QUALCOMM, Inc.

    2,105,557  

12,500

  

Ryoyo Electro Corporation

    214,420  

40,495

  

Salesforce.com, Inc.a

    6,011,078  

1,805

  

Samsung Electronics Company, Ltd. GDR

    1,839,080  

64,500

  

Shinko Electric Industries Company, Ltd.

    553,541  

38,300

  

Square, Inc.a

    2,372,685  

65,893

  

Texas Instruments, Inc.

    8,516,011  

81,638

  

Visa, Inc.

    14,042,552  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

64


GLOBAL STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (81.0%)   Value

 

 

Information Technology (15.1%) - continued

 
10,532  

Workday, Inc.a

    $1,790,019  
 

 

 
  Total     166,248,874  
 

 

 

Materials (2.9%)

 
63,453  

Alcoa Corporationa

    1,273,502  
147,090  

BHP Group, Ltd.

    3,634,679  
63,856  

CF Industries Holdings, Inc.

    3,141,715  
51,483  

Eastman Chemical Company

    3,800,990  
16,388  

Ecolab, Inc.

    3,245,479  
65,042  

Granges AB

    663,759  
12,002  

Hexpol AB

    92,120  
16,300  

Hokuetsu Corporation

    81,906  
96,000  

JSR Corporation

    1,545,673  
29,121  

Koninklijke DSM NV

    3,505,652  
63,500  

Kyoei Steel, Ltd.

    1,196,473  
10,700  

Lintec Corporation

    213,001  
63,500  

Mitsubishi Gas Chemical Company, Inc.

    854,069  
8,500  

Nippon Kayaku Company, Ltd.

    101,922  
264,700  

Nippon Steel Corporation

    3,709,066  
26,954  

Nucor Corporation

    1,372,228  
142,577  

Sandfire Resources NL

    632,002  
3,400  

Sanyo Special Steel Company, Ltd.

    45,582  
9,300  

Taiyo Holdings Company, Ltd.

    314,384  
43,700  

Toagosei Company, Ltd.

    495,550  
46,989  

UPM-Kymmene Oyj

    1,387,526  
 

 

 
  Total     31,307,278  
 

 

 

Real Estate (2.6%)

 
22,533  

Allied Properties REIT

    911,117  
22,342  

Alstria Office REIT AG

    383,297  
10,076  

American Campus Communities, Inc.

    484,454  
17,012  

American Tower Corporation

    3,761,864  
173,500  

Ascendas REIT

    391,836  
51,660  

Castellum AB

    1,105,988  
24,823  

Choice Properties REIT

    270,555  
606  

Cofinimmo SA

    85,338  
26,800  

Daito Trust Construction Company, Ltd.

    3,432,503  
5,192  

Deutsche EuroShop AG

    146,450  
6,859  

Entra ASAb

    107,577  
10,050  

First Capital Realty, Inc.

    167,418  
207  

GLP J-Reit

    274,532  
37,569  

Granite REIT

    1,819,113  
12,824  

H&R REIT

    223,889  
83,000  

Host Hotels & Resorts, Inc.

    1,435,070  
370,000  

Hysan Development Company, Ltd.

    1,492,071  
95,816  

Klepierre SA

    3,253,968  
2,048  

LEG Immobilien AG

    234,361  
166,500  

Mapletree Commercial Trust

    276,008  
111,400  

Mapletree Logistics Trust

    130,591  
33,403  

Merlin Properties Socimi SA

    466,352  
961,241  

Mirvac Group

    1,985,797  
15,492  

PSP Swiss Property AG

    1,966,895  
34,041  

Quebecor, Inc.

    772,882  
28,520  

RioCan REIT

    567,881  
115,000  

Road King Infrastructure, Ltd.

    194,262  
6,682  

Swiss Prime Site AG

    653,929  
48,977  

TAG Immobilien AG

    1,117,686  
269,300  

Wing Tai Holdings, Ltd.

    399,401  
 

 

 
  Total     28,513,085  
 

 

 

Utilities (1.1%)

 
220,829  

AGL Energy, Ltd.

    2,856,858  
49,671  

Contact Energy, Ltd.

    265,657  
133,965  

Enagas SA

    3,096,813  
Shares   Common Stock (81.0%)   Value

 

 

Utilities (1.1%) - continued

 
121,793  

Exelon Corporation

    $5,883,820  
17,793  

Northland Power, Inc.

    341,396  
 

 

 
  Total     12,444,544  
 

 

 
 

Total Common Stock

(cost $727,400,990)

    888,894,584  
 

 

 
Shares   Collateral Held for Securities Loaned
(0.5%)
  Value

 

 
5,435,497  

Thrivent Cash Management Trust

    5,435,497  
 

 

 
  Total Collateral Held for Securities Loaned (cost $5,435,497)     5,435,497  
 

 

 
Shares   Registered Investment Companies
(0.2%)
  Value

 

 

Unaffiliated (0.2%)

 
8,083  

SPDR S&P 500 ETF Trust

    2,398,792  
 

 

 
  Total     2,398,792  
 

 

 
 
 

 

 
  Total Registered Investment Companies (cost $2,336,547)     2,398,792  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (18.8%)   Value

 

 
 

Federal Home Loan Bank Discount Notes

 

7,600,000

 

2.190%, 10/2/2019d,e

    7,599,603  

400,000

 

2.010%, 10/7/2019d,e

    399,875  

9,100,000

 

1.950%, 10/16/2019d,e

    9,092,872  

300,000

 

2.000%, 10/18/2019d,e

    299,734  

800,000

 

1.995%, 10/30/2019d,e

    798,788  

200,000

 

1.960%, 11/8/2019d,e

    199,603  

2,600,000

 

1.941%, 11/12/2019d,e

    2,594,297  

400,000

 

2.010%, 11/26/2019d,e

    398,830  

200,000

 

1.880%, 1/17/2020d,e

    198,890  
 

Thrivent Core Short-Term Reserve Fund

 

18,428,376

 

2.230%

    184,283,763  
 

 

 
  Total Short-Term Investments
(cost $205,865,523)
    205,866,255  
 

 

 
  Total Investments
(cost $941,038,557) 100.5%
    $1,102,595,128  
 

 

 
  Other Assets and Liabilities, Net (0.5%)     (5,489,673
 

 

 
  Total Net Assets 100.0%     $1,097,105,455  
 

 

 

 

a

Non-income producing security.

b

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $12,490,415 or 1.1% of total net assets.

c

All or a portion of the security is on loan.

d

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

e

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

65


GLOBAL STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Global Stock Portfolio as of September 30, 2019:

 

Securities Lending Transactions

  

Common Stock

     $5,128,253  

Total lending

     $5,128,253  

Gross amount payable upon return of collateral for securities loaned

     $5,435,497  

Net amounts due to counterparty

     $307,244  

Definitions:

 

  

ADR

     -      American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.

ETF

     -      Exchange Traded Fund

GDR

     -      Global Depository Receipts, which are certificates for shares of an underlying foreign security’s shares held by an issuing depository bank from more than one country.

REIT

     -      Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.

SPDR

     -      S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.
 

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Global Stock Portfolio’s assets carried at fair value.

 

Investments in Securities    Total        Level 1        Level 2        Level 3      

Common Stock

                 

Communications Services

     72,317,141              58,823,584          13,493,557           

Consumer Discretionary

     108,760,203              73,531,479          35,228,724           

Consumer Staples

     53,623,451              16,654,391          36,969,060           

Energy

     35,641,196              23,824,914          11,816,282           

Financials

     154,519,125              84,095,932          70,423,193           

Health Care

     121,458,394              81,371,101          40,087,293           

Industrials

     104,061,293              48,577,149          55,484,144           

Information Technology

     166,248,874              134,804,920          31,443,954           

Materials

     31,307,278              12,833,914          18,473,364           

Real Estate

     28,513,085              5,681,388          22,831,697           

Utilities

     12,444,544              5,883,820          6,560,724           

Registered Investment Companies Unaffiliated

     2,398,792              2,398,792                    

Short-Term Investments

     21,582,492                       21,582,492           

Subtotal Investments in Securities

     $912,875,868              $548,481,384          $364,394,484          $–  

Other Investments *

     Total               

Affiliated Short-Term Investments

     184,283,763      

Collateral Held for Securities Loaned

     5,435,497      

Subtotal Other Investments

     $189,719,260      
          

Total Investments at Value

     $1,102,595,128      

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments      Total        Level 1        Level 2        Level 3  

Asset Derivatives

                   

Futures Contracts

       2,762,537          2,762,537                    

Total Asset Derivatives

       $2,762,537          $2,762,537          $–          $–  

Liability Derivatives

                   

Futures Contracts

       7,183,134          7,183,134                    

Total Liability Derivatives

       $7,183,134          $7,183,134          $–          $–  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

66


GLOBAL STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents Global Stock Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $21,582,492 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
     Expiration
Date
       Notional Principal
Amount
       Value and
Unrealized
 

CME E-mini Russell 2000 Index

     832            December 2019          $66,181,153          ($2,741,153

CME E-mini S&P 500 Index

     457            December 2019          68,667,915          (609,190

CME E-mini S&P Mid-Cap 400 Index

     336            December 2019          66,201,854          (1,085,054

CME Euro Foreign Exchange Currency

     651            December 2019          90,059,241          (851,897

Eurex Euro STOXX 50 Index

     2,336            December 2019          89,333,115          1,181,888  

ICE US mini MSCI Emerging Markets Index

     1,599              December 2019          81,997,745          (1,895,840

Total Futures Long Contracts

                               $462,441,023          ($6,001,246

CME E-mini S&P 500 Index

     (840          December 2019          ($125,980,609        $883,609  

ICE mini MSCI EAFE Index

     (618            December 2019          (59,357,600        697,040  

Total Futures Short Contracts

                               ($185,338,209        $1,580,649  

Total Futures Contracts

                               $277,102,814          ($4,420,597

 

Reference Description:
CME   -   Chicago Mercantile Exchange
EAFE   -   Europe, Australasia and Far East
ICE   -   Intercontinental Exchange
MSCI   -   Morgan Stanley Capital International
S&P   -   Standard & Poor’s

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Global Stock Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $74,211        $339,363        $229,290        $184,284        18,428        16.8%  

Total Affiliated Short-Term Investments

     74,211                          184,284                 16.8  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     1,450        85,965        81,980        5,435        5,435        0.5  

Total Collateral Held for Securities Loaned

     1,450                          5,435                 0.5  

Total Value

     $75,661                          $189,719                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned    
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $2,190      

Total Income from Affiliated Investments

                                $2,190      

Collateral Held for Securities Loaned

                                   

Cash Management Trust- Collateral Investment

                          89      

Total Affiliated Income from Securities Loaned, Net

                                $89      

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

67


GOVERNMENT BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal

Amount

  Long-Term Fixed Income (99.5%)   Value

Asset-Backed Securities (2.6%)

 
 

Brazos Higher Education Authority, Inc.

 

$273,868

 

3.126%, (LIBOR 3M + 0.850%), 7/25/2029, Ser. 2011-2, Class A2a

    $275,141  
 

Goodgreen Trust

 

1,894,487

 

3.860%, 10/15/2054, Ser. 2019-1A, Class Ab

    2,006,331  
 

SBA Small Business Investment Companies

 

1,779,340

 

3.548%, 9/10/2028, Ser. 2018-10B, Class 1

    1,877,014  
 

SLM Student Loan Trust

 

600,086

 

2.418%, (LIBOR 1M + 0.400%), 3/25/2025, Ser. 2010-1, Class Aa

    582,116  
 

 

 
 

Total

    4,740,602  
 

 

 

Collateralized Mortgage Obligations (11.6%)

 

 

Federal Home Loan Mortgage Corporation - REMIC

 

1,100,000

 

3.859%, 11/25/2028, Ser. K086, Class A2a,c

    1,243,706  

1,246,233

 

1.750%, 12/15/2042, Ser. 4141, Class KM

    1,208,742  

1,113,443

 

3.000%, 5/15/2045, Ser. 4631, Class PA

    1,150,616  

2,057,785

 

3.000%, 7/15/2046, Ser. 4750, Class PA

    2,089,324  

1,195,447

 

3.000%, 3/15/2047, Ser. 4734, Class JA

    1,236,895  

2,324,230

 

3.500%, 8/15/2047, Ser. 4860, Class CA

    2,439,064  

1,981,193

 

2.000%, 9/25/2049, Ser. 4906, Class KE

    1,948,713  
 

Federal National Mortgage Association - REMIC

 

1,681,236

 

3.000%, 1/25/2043, Ser. 2013-114, Class AB

    1,701,993  

1,363,145

 

3.250%, 6/25/2043, Ser. 2013-60, Class PT

    1,417,670  

2,025,076

 

3.000%, 3/25/2046, Ser. 2016-66, Class PA

    2,072,355  

607,422

 

3.000%, 6/25/2046, Ser. 2017-58, Class P

    621,963  

1,659,688

 

3.500%, 12/25/2047, Ser. 2018-41, Class PB

    1,728,458  
 

GMAC Mortgage Corporation Loan Trust

 

61,903

 

2.518%, (LIBOR 1M + 0.500%), 8/25/2035, Ser. 2005-HE1, Class A2a,c

    73,449  
 

IndyMac Seconds Asset-Backed Trust

 

223,672

 

2.358%, (LIBOR 1M + 0.340%), 10/25/2036, Ser. 2006-2B, Class Aa,c

    122,220  
 

Seasoned Credit Risk Transfer Trust

 

1,946,413

 

3.000%, 8/25/2056, Ser. 2017-2, Class HAc

    2,029,158  
 

Wachovia Asset Securitization, Inc.

 

363,573

 

2.158%, (LIBOR 1M + 0.140%), 7/25/2037, Ser. 2007-HE1, Class Aa,b,c

    341,068  
 

 

 
 

Total

    21,425,394  
 

 

 

Principal

Amount

  Long-Term Fixed Income (99.5%)   Value

Commercial Mortgage-Backed Securities (15.2%)

 

 

Federal Home Loan Mortgage Corporation Multifamily Structured Pass Through Certficates

 

$1,000,000

 

3.650%, 2/25/2028, Ser. K075, Class A2a,c

    $1,108,581  
 

Federal Home Loan Mortgage Corporation Multifamily Structured Pass Through Certificates

 

1,057,860

 

2.776%, 3/25/2023, Ser. K724, Class A1c

    1,074,348  

1,750,000

 

3.430%, 1/25/2027, Ser. K063, Class A2a,c

    1,903,709  

2,000,000

 

3.900%, 4/25/2028, Ser. K076, Class A2c

    2,255,994  

1,750,000

 

3.900%, 8/25/2028, Ser. K081, Class A2a,c

    1,981,052  

2,000,000

 

3.780%, 10/25/2028, Ser. K084, Class A2a,c

    2,246,317  

2,000,000

 

3.505%, 3/25/2029, Ser. K091, Class A2c

    2,216,974  

1,485,968

 

3.000%, 3/15/2045, Ser. 4741, Class GA

    1,527,916  
 

Federal National Mortgage Association

 

875,000

 

3.640%, 6/1/2028

    941,988  

355,000

 

3.710%, 7/1/2028

    381,909  

2,000,000

 

3.830%, 10/1/2028

    2,177,824  
 

Federal National Mortgage Association - ACES

 

1,411,465

 

3.560%, 9/25/2021, Ser. 2018-M5, Class A2a

    1,437,632  

1,500,000

 

3.346%, 3/25/2024, Ser. 2014-M4, Class A2a

    1,572,645  

1,250,000

 

2.961%, 2/25/2027, Ser. 2017-M7, Class A2a

    1,311,978  

2,000,000

 

3.555%, 9/25/2028, Ser. 2019-M1, Class A2a

    2,211,019  

2,000,000

 

2.937%, 4/25/2029, Ser. 2019-M9, Class A2

    2,120,685  
 

FRESB Multifamily Mortgage Pass- Through Trust

 

1,643,282

 

2.950%, 8/25/2027, Ser. 2017-SB40, Class A10Fa,c

    1,709,628  
 

 

 
 

Total

    28,180,199  
 

 

 

Consumer Cyclical (1.0%)

 
 

California Institute of Technology

 

250,000

 

4.700%, 11/1/2111

    326,786  
 

Dartmouth College

 

125,000

 

3.760%, 6/1/2043

    138,927  
 

Massachusetts Institute of Technology

 

375,000

 

4.678%, 7/1/2114

    528,505  
 

President and Fellows of Harvard College

 

375,000

 

3.619%, 10/1/2037

    420,776  
 

Stanford Junior University

 

425,000

 

3.563%, 6/1/2044

    481,455  
 

 

 
 

Total

    1,896,449  
 

 

 

Energy (0.1%)

 

 

Petroleos Mexicanos

 

180,000

 

2.378%, 4/15/2025

    182,192  
 

 

 
 

Total

    182,192  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

68


GOVERNMENT BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (99.5%)   Value

Financials (1.6%)

 
 

HSBC Bank Canada

 

$750,000

 

3.300%, 11/28/2021b

    $771,154  
 

Oesterreichische Kontrollbank AG

 

2,000,000

 

2.875%, 9/7/2021

    2,043,004  
 

Preferred Term Securities XXIII, Ltd.

 

140,656

 

2.319%, (LIBOR 3M + 0.200%), 12/22/2036a,b

    128,466  
 

 

 
 

Total

    2,942,624  
 

 

 

Foreign Government (8.5%)

 
 

African Development Bank

 

2,000,000

 

3.000%, 9/20/2023

    2,102,107  
 

CPPIB Capital, Inc.

 

2,000,000

 

3.125%, 9/25/2023b

    2,102,873  
 

Development Bank of Japan, Inc.

 

750,000

 

2.125%, 9/1/2022b

    752,993  
 

European Investment Bank

 

2,000,000

 

2.500%, 3/15/2023

    2,059,523  
 

Export Development Canada

 

2,000,000

 

2.500%, 1/24/2023

    2,054,772  
 

Inter-American Development Bank

 

500,000

 

3.000%, 10/4/2023

    526,324  
 

Jordan Government International Bond

 

500,000

 

2.503%, 10/30/2020

    503,796  
 

Kommunalbanken AS

 

2,000,000

 

2.500%, 1/11/2023b

    2,052,048  
 

Province of British Columbia Canada

 

1,550,000

 

1.750%, 9/27/2024

    1,553,838  
 

Province of Ontario Canada

 

1,000,000

 

3.400%, 10/17/2023

    1,062,355  
 

Province of Quebec

 

400,000

 

7.500%, 7/15/2023

    480,305  
 

Sweden Government International Bond

 

500,000

 

1.625%, 3/24/2020b

    499,082  
 

 

 
 

Total

    15,750,016  
 

 

 

Mortgage-Backed Securities (21.3%)

 
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

4,500,000

 

3.500%, 10/1/2034d

    4,654,336  

8,850,000

 

3.000%, 10/1/2034d

    9,047,396  
 

Federal National Mortgage Association Conventional 30-Yr. Pass Through

 

802

 

8.000%, 4/1/2030

    958  

8,295,000

 

3.500%, 10/1/2049d

    8,510,476  

16,900,000

 

3.000%, 10/1/2049d

    17,157,461  
 

 

 
 

Total

    39,370,627  
 

 

 

U.S. Government & Agencies (37.2%)

 
 

Federal Farm Credit Bank

 

400,000

 

2.210%, 8/1/2024

    410,467  
 

Federal Home Loan Bank

 

2,500,000

 

2.375%, 3/30/2020

    2,506,263  

2,500,000

 

2.500%, 2/13/2024

    2,594,985  
 

Federal National Mortgage Association

 

500,000

 

5.960%, 9/11/2028

    664,761  
 

Resolution Funding Corporation

 

200,000

 

8.125%, 10/15/2019

    200,490  
 

Tennessee Valley Authority

 

2,500,000

 

2.250%, 3/15/2020

    2,504,089  
Principal
Amount
  Long-Term Fixed Income (99.5%)   Value

U.S. Government & Agencies (37.2%) - continued

 

$1,625,000

 

5.250%, 9/15/2039

    $2,301,560  
 

U.S. Treasury Bonds

 

1,375,000

 

2.250%, 11/15/2027

    1,438,433  

300,000

 

5.500%, 8/15/2028

    395,039  

1,500,000

 

5.250%, 11/15/2028

    1,954,277  

1,750,000

 

2.625%, 2/15/2029

    1,894,512  

1,225,000

 

3.000%, 5/15/2042

    1,433,441  

4,525,000

 

2.500%, 5/15/2046

    4,877,102  

1,720,000

 

2.875%, 5/15/2049

    2,007,697  
 

U.S. Treasury Bonds, TIPS

 

3,120,300

 

0.500%, 1/15/2028

    3,195,809  

1,089,391

 

0.875%, 2/15/2047

    1,184,114  
 

U.S. Treasury Notes

 

5,625,000

 

1.750%, 11/30/2019

    5,622,132  

1,500,000

 

1.375%, 12/15/2019

    1,498,418  

2,500,000

 

1.375%, 2/15/2020

    2,494,727  

1,000,000

 

2.750%, 11/30/2020

    1,010,742  

600,000

 

1.875%, 12/15/2020

    600,539  

1,000,000

 

2.250%, 7/31/2021

    1,010,039  

5,095,000

 

1.125%, 8/31/2021

    5,043,254  

2,150,000

 

2.500%, 1/15/2022

    2,191,656  

1,500,000

 

1.875%, 7/31/2022

    1,511,367  

225,000

 

2.000%, 11/30/2022

    227,856  

2,350,000

 

2.500%, 1/31/2024

    2,441,154  

250,000

 

2.125%, 7/31/2024

    256,445  

2,000,000

 

1.250%, 8/31/2024

    1,972,266  

6,850,000

 

2.250%, 11/15/2024

    7,075,836  

250,000

 

2.125%, 11/30/2024

    256,787  

1,350,000

 

2.875%, 7/31/2025

    1,445,449  

2,625,000

 

2.625%, 1/31/2026

    2,784,141  
 

U.S. Treasury Notes, TIPS

 

527,470

 

0.125%, 4/15/2022

    522,194  

1,291,087

 

0.625%, 4/15/2023

    1,302,001  
 

 

 
 

Total

    68,830,042  
 

 

 

Utilities (0.4%)

 

 

Duke Energy Carolinas, LLC

 

750,000

 

3.950%, 11/15/2028

    837,262  
 

 

 
 

Total

    837,262  
 

 

 
 
 

 

 
 

Total Long-Term Fixed Income

(cost $177,814,239)

    184,155,407  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (21.5%)   Value
 

Federal Agricultural Mortgage Corporation Discount Notes

 

1,000,000

 

1.900%, 10/11/2019e

    999,478  
 

Federal Home Loan Bank Discount Notes

 

200,000

 

1.995%, 10/30/2019e,f

    199,697  

200,000

 

1.980%, 11/8/2019e,f

    199,603  
 

Thrivent Core Short-Term Reserve Fund

 

3,840,058

 

2.230%

    38,400,577  
 

 

 
 

Total Short-Term Investments

(cost $39,799,310)

    39,799,355  
 

 

 
 

Total Investments

(cost $217,613,549) 121.0%

    $223,954,762  
 

 

 
 

Other Assets and Liabilities, Net

(21.0%)

    (38,796,864
 

 

 
 

Total Net Assets 100.0%

    $185,157,898  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

69


GOVERNMENT BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

a

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

b

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $8,654,015 or 4.7% of total net assets.

c

All or a portion of the security is insured or guaranteed.

d

Denotes investments purchased on a when-issued or delayed delivery basis.

e

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

f

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

 

Definitions:
ACES     -     Alternative Credit Enhancement Securities
        REMIC     -     Real Estate Mortgage Investment Conduit
Ser.     -     Series
TIPS   -   Treasury Inflation Protected Security

 

Reference Rate Index:
LIBOR 1M               -        ICE Libor USD Rate 1 Month
LIBOR 3M               -        ICE Libor USD Rate 3 Month
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

70


GOVERNMENT BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Government Bond Portfolio’s assets carried at fair value.

 

Investments in Securities    Total      Level 1              Level 2              Level 3          

Long-Term Fixed Income

                 

Asset-Backed Securities

     4,740,602           –                4,740,602            

Collateralized Mortgage Obligations

     21,425,394           –                21,425,394            

Commercial Mortgage-Backed Securities

     28,180,199           –                28,180,199            

Consumer Cyclical

     1,896,449           –                1,896,449            

Energy

     182,192           –                182,192            

Financials

     2,942,624           –                2,942,624            

Foreign Government

     15,750,016           –                15,750,016            

Mortgage-Backed Securities

     39,370,627           –                39,370,627            

U.S. Government & Agencies

     68,830,042           –                68,830,042            

Utilities

     837,262           –                837,262            

Short-Term Investments

     1,398,778           –                1,398,778            

Subtotal Investments in Securities

     $185,554,185                 $–                $185,554,185                 $–  
Other Investments *    Total         

Affiliated Short-Term Investments

     38,400,577  

Subtotal Other Investments

     $38,400,577  
          

Total Investments at Value

     $223,954,762  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments    Total      Level 1      Level 2              Level 3          

Asset Derivatives

                 

Futures Contracts

     206,000                    206,000                      

Total Asset Derivatives

     $206,000                    $206,000                 $–                 $–  

Liability Derivatives

                 

Futures Contracts

     106,921                    106,921                                  

Total Liability Derivatives

     $106,921                    $106,921                 $–                 $–  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

71


GOVERNMENT BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents Government Bond Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $399,300 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
  

            Expiration

            Date

     Notional Principal
Amount
     Value and
Unrealized
 

CBOT 2-Yr. U.S. Treasury Note

   61                  December 2019        $13,175,711        ($30,211

CBOT 5-Yr. U.S. Treasury Note

   19                  December 2019        2,264,082        (262

CBOT U.S. Long Bond

   22                  December 2019        3,584,947        (14,072

CME Ultra Long Term U.S. Treasury Bond

   45                  December 2019        8,698,157        (62,376

Total Futures Long Contracts

                   $27,722,897        ($106,921

CBOT 10-Yr. U.S. Treasury Note

   (49)                  December 2019        ($6,439,921      $54,609  

Ultra 10-Yr. U.S. Treasury Note

   (63)                  December 2019        (9,122,985      151,391  

Total Futures Short Contracts

                   ($15,562,906      $206,000  

Total Futures Contracts

                   $12,159,991        $99,079  

 

Reference Description:

CBOT

      -       

Chicago Board of Trade

CME

      -       

Chicago Mercantile Exchange

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purposes of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Government Bond Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $48,960        $42,910        $53,469        $38,401        3,840        20.7%  

Total Affiliated Short-Term Investments

     48,960                          38,401                 20.7  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     2,045        1,990        4,035                       

Total Collateral Held for Securities Loaned

     2,045                                           

Total Value

     $51,005                          $38,401                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in    
Unrealized    
Appreciation/    
(Depreciation)    
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $886  

Total Income from Affiliated Investments

                                $886  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          0  

Total Affiliated Income from Securities Loaned, Net

                                $0  

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

72


HIGH YIELD PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (4.4%)a   Value

Basic Materials (0.2%)

 
 

Starfruit US Holdco, LLC, Term Loan

 

$1,595,980

 

5.292%, (LIBOR 1M + 3.250%), 10/1/2025b,c,d

    $1,560,868  
 

 

 
 

Total

    1,560,868  
 

 

 

Capital Goods (0.7%)

 
 

Navistar, Inc., Term Loan

 

4,238,485

 

5.530%, (LIBOR 1M + 3.500%), 11/6/2024d

    4,213,308  
 

Vertiv Group Corporation, Term Loan

 

1,729,957

 

6.044%, (LIBOR 1M + 4.000%), 11/15/2023d

    1,643,459  
 

 

 
 

Total

    5,856,767  
 

 

 

Communications Services (1.2%)

 
 

Frontier Communications Corporation, Term Loan

 

4,178,812

 

5.800%, (LIBOR 1M + 3.750%), 6/15/2024d

    4,165,398  
 

Windstream Services, LLC, Term Loan

 

6,355,000

 

10.000%, (PRIME + 5.000%), 3/30/2021b,c,d,e

    6,441,047  
 

 

 
 

Total

    10,606,445  
 

 

 

Consumer Cyclical (1.0%)

 
 

Cengage Learning, Inc., Term Loan

 

4,122,695

 

6.294%, (LIBOR 1M + 4.250%), 6/7/2023d

    3,892,525  
 

Golden Nugget, LLC, Term Loan

 

2,112,819

 

4.800%, (LIBOR 1M + 2.750%), 10/4/2023b,c,d

    2,109,080  
 

Staples, Inc., Term Loan

 

2,658,338

 

7.123%, (LIBOR 3M + 5.000%), 4/12/2026d

    2,619,021  
 

 

 
 

Total

    8,620,626  
 

 

 

Consumer Non-Cyclical (0.4%)

 
 

Chobani, LLC, Term Loan

 

1,587,765

 

5.544%, (LIBOR 1M + 3.500%), 10/7/2023d

    1,572,887  
 

Endo International plc, Term Loan

 

2,644,708

 

6.313%, (LIBOR 1M + 4.250%), 4/27/2024d

    2,402,559  
 

 

 
 

Total

    3,975,446  
 

 

 

Financials (0.9%)

 
 

Forest City Enterprises, LP, Term Loan

 

3,706,988

 

6.044%, (LIBOR 1M + 4.000%), 12/7/2025d

    3,730,156  
 

Grizzly Finco, Term Loan

 

4,257,000

 

5.569%, (LIBOR 3M + 3.250%), 10/1/2025d

    4,218,858  
 

 

 
 

Total

    7,949,014  
 

 

 
   
 

 

 
 

Total Bank Loans

(cost $38,661,484)

    38,569,166  
 

 

 
Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Basic Materials (6.4%)

 
 

Alcoa, Inc.

 

1,605,000

 

5.125%, 10/1/2024

    1,709,325  
Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Basic Materials (6.4%) - continued

 
 

Anglo American Capital plc

 

$4,205,000

 

4.750%, 4/10/2027f

    $4,535,494  
 

Big River Steel, LLC

 

3,610,000

 

7.250%, 9/1/2025f

    3,808,550  
 

BWAY Holding Company

 

2,670,000

 

5.500%, 4/15/2024f

    2,752,903  
 

Cleveland-Cliffs, Inc.

 

4,255,000

 

5.750%, 3/1/2025

    4,180,537  
 

Element Solutions, Inc.

 

2,385,000

 

5.875%, 12/1/2025f

    2,496,141  
 

First Quantum Minerals, Ltd.

 

573,000

 

7.000%, 2/15/2021f

    577,656  

2,675,000

 

7.250%, 4/1/2023f

    2,634,875  

2,140,000

 

6.875%, 3/1/2026f

    2,038,350  
 

Grinding Media, Inc.

 

3,250,000

 

7.375%, 12/15/2023f

    3,103,750  
 

Hexion, Inc.

 

1,595,000

 

7.875%, 7/15/2027f

    1,575,062  
 

Krayton Polymers, LLC

 

2,675,000

 

7.000%, 4/15/2025f

    2,788,688  
 

Mercer International, Inc.

 

2,140,000

 

7.375%, 1/15/2025

    2,229,024  

3,215,000

 

5.500%, 1/15/2026

    3,094,438  
 

Midwest Vanadium, Pty. Ltd.

 

3,197,755

 

11.500%, 2/15/2018*,e,g

    9,139  
 

Novelis Corporation

 

1,570,000

 

6.250%, 8/15/2024f

    1,640,650  

2,240,000

 

5.875%, 9/30/2026f

    2,349,200  
 

Olin Corporation

 

2,650,000

 

5.625%, 8/1/2029

    2,756,795  

3,195,000

 

5.000%, 2/1/2030

    3,200,112  
 

Peabody Securities Finance Corporation

 

3,180,000

 

6.000%, 3/31/2022f

    3,195,900  
 

Tronox Finance plc

 

3,210,000

 

5.750%, 10/1/2025f

    3,035,858  
 

United States Steel Corporation

 

2,135,000

 

6.875%, 8/15/2025h

    1,926,838  
 

 

 
 

Total

    55,639,285  
 

 

 

Capital Goods (10.1%)

 
 

Abengoa Abenewco 2 Bis SA, Convertible

 

3,873,709

 

0.000%,PIK 1.500%, 4/26/2024*,i

    387,371  
 

Advanced Disposal Services, Inc.

 

3,155,000

 

5.625%, 11/15/2024f

    3,293,031  
 

Advanced Drainage Systems, Inc.

 

2,640,000

 

5.000%, 9/30/2027f

    2,676,274  
 

AECOM

 

1,065,000

 

5.875%, 10/15/2024

    1,157,655  

3,195,000

 

5.125%, 3/15/2027

    3,354,750  
 

Amsted Industries, Inc.

 

2,125,000

 

5.625%, 7/1/2027f

    2,241,875  
 

Arconic, Inc.

 

1,605,000

 

5.900%, 2/1/2027

    1,798,082  
 

Ardagh Packaging Finance plc

 

3,720,000

 

6.000%, 2/15/2025f

    3,889,632  

5,295,000

 

5.250%, 8/15/2027f

    5,361,187  
 

Berry Global, Inc.

 

1,740,000

 

4.500%, 2/15/2026f

    1,716,075  
 

Berry Plastics Corporation

 

4,260,000

 

5.125%, 7/15/2023

    4,371,825  
 

Bombardier, Inc.

 

2,945,000

 

7.500%, 3/15/2025f

    2,941,319  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

73


HIGH YIELD PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Capital Goods (10.1%) - continued

 

$4,790,000

 

7.875%, 4/15/2027f

    $4,770,121  
 

BWAY Holding Company

 

3,205,000

 

7.250%, 4/15/2025f

    3,029,686  
 

Cemex SAB de CV

 

2,750,000

 

5.700%, 1/11/2025f

    2,828,953  

2,670,000

 

6.125%, 5/5/2025f

    2,776,800  
 

Clean Harbors, Inc.

 

2,080,000

 

5.125%, 7/15/2029f

    2,204,800  
 

Covanta Holding Corporation

 

1,600,000

 

5.875%, 7/1/2025

    1,668,000  

1,060,000

 

6.000%, 1/1/2027

    1,115,650  
 

Crown Cork & Seal Company, Inc.

 

3,210,000

 

7.375%, 12/15/2026

    3,900,150  
 

Flex Acquisition Company, Inc.

 

3,205,000

 

6.875%, 1/15/2025f

    2,923,281  

1,300,000

 

7.875%, 7/15/2026f

    1,192,750  
 

GFL Environmental, Inc.

 

3,210,000

 

7.000%, 6/1/2026f

    3,378,525  
 

H&E Equipment Services, Inc.

 

4,971,000

 

5.625%, 9/1/2025

    5,117,147  
 

Jeld-Wen, Inc.

 

2,670,000

 

4.875%, 12/15/2027f

    2,643,300  
 

New Enterprise Stone & Lime Company, Inc.

 

2,145,000

 

6.250%, 3/15/2026f

    2,193,263  
 

Owens-Brockway Glass Container, Inc.

 

3,070,000

 

5.875%, 8/15/2023f

    3,258,038  
 

Reynolds Group Issuer, Inc.

 

2,175,000

 

5.125%, 7/15/2023f

    2,226,656  
 

Summit Materials, LLC

 

2,135,000

 

5.125%, 6/1/2025f

    2,188,375  
 

TransDigm, Inc.

 

1,855,000

 

6.250%, 3/15/2026f

    1,991,806  
 

United Rentals North America, Inc.

 

1,060,000

 

5.500%, 7/15/2025

    1,102,930  

4,240,000

 

5.875%, 9/15/2026

    4,521,112  
 

 

 
 

Total

    88,220,419  
 

 

 

Communications Services (15.1%)

 
 

Altice Luxembourg SA

 

2,660,000

 

10.500%, 5/15/2027f

    2,997,820  
 

Block Communications, Inc.

 

3,720,000

 

6.875%, 2/15/2025f

    3,878,100  
 

CCO Holdings, LLC

 

7,780,000

 

5.875%, 4/1/2024f

    8,118,119  

3,450,000

 

5.375%, 6/1/2029f

    3,674,250  
 

CCOH Safari, LLC

 

5,455,000

 

5.750%, 2/15/2026f

    5,755,025  
 

Cengage Learning, Inc.

 

1,705,000

 

9.500%, 6/15/2024f

    1,560,075  
 

CSC Holdings, LLC

 

5,590,000

 

6.500%, 2/1/2029f

    6,213,145  
 

Embarq Corporation

 

5,325,000

 

7.995%, 6/1/2036

    5,263,443  
 

Gray Escrow, Inc.

 

2,040,000

 

7.000%, 5/15/2027f

    2,241,348  
 

Gray Television, Inc.

 

3,560,000

 

5.875%, 7/15/2026f

    3,702,400  
 

GrubHub Holdings, Inc.

 

2,915,000

 

5.500%, 7/1/2027f

    2,973,300  
 

iHeartCommunications, Inc.

 

2,650,000

 

5.250%, 8/15/2027f

    2,756,000  
 

Intelsat Jackson Holdings SA

 

8,570,000

 

5.500%, 8/1/2023

    7,994,953  
Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Communications Services (15.1%) - continued

 
 

Level 3 Financing, Inc.

 

$5,510,000

 

5.375%, 5/1/2025

    $5,709,737  

1,700,000

 

5.250%, 3/15/2026

    1,767,745  
 

Lions Gate Capital Holdings, LLC

 

2,665,000

 

6.375%, 2/1/2024f

    2,817,918  
 

Neptune Finco Corporation

 

4,733,000

 

10.875%, 10/15/2025f

    5,359,886  
 

Qualitytech, LP

 

3,740,000

 

4.750%, 11/15/2025f

    3,852,200  
 

Scripps Escrow, Inc.

 

3,715,000

 

5.875%, 7/15/2027f

    3,770,725  
 

SFR Group SA

 

1,582,000

 

6.250%, 5/15/2024f

    1,632,624  

2,650,000

 

7.375%, 5/1/2026f

    2,844,669  
 

Sinclair Television Group, Inc.

 

1,570,000

 

5.875%, 3/15/2026f

    1,642,612  
 

Sirius XM Radio, Inc.

 

2,000,000

 

4.625%, 7/15/2024f

    2,073,660  

2,660,000

 

5.500%, 7/1/2029f

    2,839,550  
 

Sprint Capital Corporation

 

1,060,000

 

6.875%, 11/15/2028

    1,155,612  
 

Sprint Communications, Inc.

 

5,130,000

 

6.000%, 11/15/2022

    5,450,625  
 

Sprint Corporation

 

8,240,000

 

7.625%, 2/15/2025

    9,064,000  
 

T-Mobile USA, Inc.

 

3,450,000

 

6.000%, 4/15/2024

    3,579,375  

3,725,000

 

4.500%, 2/1/2026

    3,834,143  
 

T-Mobile USA, Inc. Contingent Consent Payment

 

3,450,000

 

0.000%, 4/15/2024j

    18,309  
 

VeriSign, Inc.

 

2,630,000

 

4.750%, 7/15/2027

    2,754,925  
 

Virgin Media Secured Finance plc

 

4,900,000

 

5.250%, 1/15/2026f

    5,034,750  

2,395,000

 

5.500%, 8/15/2026f

    2,512,475  

3,500,000

 

5.500%, 5/15/2029f

    3,648,750  
 

WMG Acquisition Corporation

 

2,675,000

 

5.500%, 4/15/2026f

    2,808,750  
 

 

 
 

Total

    131,301,018  
 

 

 

Consumer Cyclical (13.9%)

 
 

Allison Transmission, Inc.

 

3,835,000

 

5.000%, 10/1/2024f

    3,918,891  
 

Brookfield Property REIT, Inc.

 

3,460,000

 

5.750%, 5/15/2026f

    3,615,700  
 

Brookfield Residential Properties, Inc.

 

3,440,000

 

6.250%, 9/15/2027f

    3,457,200  
 

Cedar Fair, LP

 

2,000,000

 

5.250%, 7/15/2029f

    2,140,000  
 

Choice Hotels International, Inc.

 

3,445,000

 

5.750%, 7/1/2022

    3,711,987  
 

Cinemark USA, Inc.

 

4,475,000

 

4.875%, 6/1/2023

    4,536,531  
 

Dana Financing Luxembourg SARL

 

3,925,000

 

6.500%, 6/1/2026f

    4,140,875  
 

Hanesbrands, Inc.

 

4,145,000

 

4.875%, 5/15/2026f

    4,379,192  
 

Herc Holdings, Inc.

 

3,450,000

 

5.500%, 7/15/2027f

    3,588,000  
 

Hertz Corporation

 

2,135,000

 

7.625%, 6/1/2022f

    2,223,069  
 

Hilton Escrow Issuer, LLC

 

2,660,000

 

4.250%, 9/1/2024

    2,709,875  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

74


HIGH YIELD PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Consumer Cyclical (13.9%) - continued

 
 

International Game Technology plc

 

$1,600,000

 

6.250%, 1/15/2027f

    $1,778,000  
 

KAR Auction Services, Inc.

 

2,670,000

 

5.125%, 6/1/2025f

    2,763,450  
 

KB Home

 

2,130,000

 

6.875%, 6/15/2027

    2,396,250  
 

L Brands, Inc.

 

2,708,000

 

6.694%, 1/15/2027

    2,660,610  
 

Landry’s, Inc.

 

3,700,000

 

6.750%, 10/15/2024f

    3,792,500  
 

Lennar Corporation

 

3,710,000

 

4.125%, 1/15/2022

    3,798,112  

1,525,000

 

4.500%, 4/30/2024

    1,606,588  

1,590,000

 

4.750%, 5/30/2025

    1,697,325  
 

Live Nation Entertainment, Inc.

 

3,265,000

 

4.875%, 11/1/2024f

    3,382,662  

530,000

 

5.625%, 3/15/2026f

    563,788  
 

Mattamy Group Corporation

 

3,710,000

 

6.500%, 10/1/2025f

    3,895,500  
 

MGM Resorts International

 

3,500,000

 

5.750%, 6/15/2025

    3,854,375  
 

Murphy Oil USA, Inc.

 

3,710,000

 

4.750%, 9/15/2029

    3,793,475  
 

New Red Finance, Inc.

 

2,410,000

 

5.000%, 10/15/2025f

    2,489,530  
 

PGT Escrow Issuer, Inc.

 

2,675,000

 

6.750%, 8/1/2026f

    2,882,313  
 

Prime Security Services Borrower, LLC

 

4,770,000

 

5.750%, 4/15/2026f

    4,967,001  
 

RHP Hotel Properties, LP

 

960,000

 

5.000%, 4/15/2023

    979,200  
 

Ryman Hospitality Properties, Inc.

 

3,175,000

 

4.750%, 10/15/2027f

    3,266,408  
 

Scientific Games International, Inc.

 

2,190,000

 

6.625%, 5/15/2021

    2,217,375  

1,445,000

 

10.000%, 12/1/2022

    1,502,800  

2,650,000

 

5.000%, 10/15/2025f

    2,734,270  
 

ServiceMaster Company, LLC

 

4,260,000

 

5.125%, 11/15/2024f

    4,419,750  
 

Six Flags Entertainment Corporation

 

5,880,000

 

4.875%, 7/31/2024f

    6,085,800  
 

Staples, Inc.

 

1,855,000

 

7.500%, 4/15/2026f

    1,911,207  
 

Stars Group Holdings BV

 

2,550,000

 

7.000%, 7/15/2026f

    2,715,750  
 

Station Casinos, LLC

 

530,000

 

5.000%, 10/1/2025f

    537,844  
 

Viking Cruises, Ltd.

 

4,765,000

 

5.875%, 9/15/2027f

    5,048,994  
 

Wynn Macau, Ltd.

 

1,724,000

 

4.875%, 10/1/2024f

    1,717,535  
 

Yum! Brands, Inc.

 

2,090,000

 

5.250%, 6/1/2026f

    2,212,265  

720,000

 

4.750%, 1/15/2030f

    742,500  
 

 

 
 

Total

    120,834,497  
 

 

 

Consumer Non-Cyclical (13.0%)

 
 

Air Medical Merger Sub Corporation

 

3,190,000

 

6.375%, 5/15/2023f

    2,775,300  
 

Albertson’s Companies, LLC

 

5,718,000

 

6.625%, 6/15/2024

    5,989,605  

2,660,000

 

7.500%, 3/15/2026f

    2,959,250  

2,650,000

 

5.875%, 2/15/2028f

    2,804,866  
Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Consumer Non-Cyclical (13.0%) - continued

 
 

Alliance One International, Inc.

 

$3,600,000

 

9.875%, 7/15/2021

    $2,484,000  
 

B&G Foods, Inc.

 

2,650,000

 

5.250%, 9/15/2027

    2,709,890  
 

Bausch Health Companies, Inc.

 

2,125,000

 

7.250%, 5/30/2029f

    2,321,137  
 

Centene Corporation

 

2,130,000

 

5.375%, 6/1/2026f

    2,231,175  
 

Centene Escrow Corporation

 

4,440,000

 

6.125%, 2/15/2024

    4,629,588  
 

Dole Food Company, Inc.

 

2,660,000

 

7.250%, 6/15/2025f

    2,507,050  
 

Encompass Health Corporation

 

2,645,000

 

4.500%, 2/1/2028

    2,674,095  
 

Energizer Holdings, Inc.

 

4,240,000

 

5.500%, 6/15/2025f

    4,389,799  
 

HCA, Inc.

 

3,065,000

 

4.750%, 5/1/2023

    3,283,302  

3,705,000

 

5.375%, 2/1/2025

    4,047,712  

2,130,000

 

5.875%, 2/1/2029

    2,382,937  
 

JBS USA Lux SA

 

3,100,000

 

5.500%, 1/15/2030f

    3,285,938  
 

JBS USA, LLC

 

3,240,000

 

5.750%, 6/15/2025f

    3,375,497  

4,655,000

 

6.500%, 4/15/2029f

    5,167,050  
 

MPH Acquisition Holdings, LLC

 

4,190,000

 

7.125%, 6/1/2024f

    3,860,038  
 

Par Pharmaceutical, Inc.

 

2,650,000

 

7.500%, 4/1/2027f

    2,411,500  
 

Performance Food Group, Inc.

 

790,000

 

5.500%, 10/15/2027f

    829,500  
 

Pilgrim’s Pride Corporation

 

3,215,000

 

5.750%, 3/15/2025f

    3,327,525  
 

Post Holdings, Inc.

 

3,210,000

 

5.000%, 8/15/2026f

    3,329,091  

2,655,000

 

5.500%, 12/15/2029f

    2,767,838  
 

Simmons Foods, Inc.

 

3,695,000

 

5.750%, 11/1/2024f

    3,602,625  
 

Spectrum Brands, Inc.

 

4,280,000

 

5.750%, 7/15/2025

    4,466,137  

930,000

 

5.000%, 10/1/2029f

    946,275  
 

Teleflex, Inc.

 

2,525,000

 

5.250%, 6/15/2024

    2,600,750  
 

Tenet Healthcare Corporation

 

7,930,000

 

4.875%, 1/1/2026f

    8,138,163  

4,240,000

 

5.125%, 11/1/2027f

    4,381,404  
 

Teva Pharmaceutical Finance Netherlands III BV

 

2,945,000

 

3.150%, 10/1/2026

    2,061,500  
 

Valeant Pharmaceuticals International, Inc.

 

1,571,000

 

5.500%, 3/1/2023f

    1,590,638  

532,000

 

5.875%, 5/15/2023f

    538,650  

2,680,000

 

8.500%, 1/31/2027f

    3,007,764  
 

VRX Escrow Corporation

 

5,295,000

 

6.125%, 4/15/2025f

    5,493,563  
 

 

 
 

Total

    113,371,152  
 

 

 

Energy (13.1%)

 
 

Alliance Resource Operating Partners, LP

 

3,195,000

 

7.500%, 5/1/2025f

    3,155,062  
 

Antero Resources Corporation

 

1,585,000

 

5.125%, 12/1/2022

    1,390,837  

2,640,000

 

5.625%, 6/1/2023h

    2,283,600  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

75


HIGH YIELD PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Energy (13.1%) - continued

 
 

Boardwalk Pipelines, LP

 

$3,695,000

 

5.950%, 6/1/2026

    $4,141,719  
 

Buckeye Partners, LP

 

4,265,000

 

4.125%, 12/1/2027

    3,733,935  
 

California Resources Corporation

 

4,790,000

 

8.000%, 12/15/2022f

    2,371,050  
 

Centennial Resource Production, LLC

 

5,085,000

 

5.375%, 1/15/2026f

    4,856,175  
 

Cheniere Corpus Christi Holdings, LLC

 

6,910,000

 

7.000%, 6/30/2024

    7,937,862  
 

Cheniere Energy Partners, LP

 

3,875,000

 

5.625%, 10/1/2026

    4,111,956  

2,645,000

 

4.500%, 10/1/2029f

    2,709,472  
 

Chesapeake Energy Corporation

 

1,100,000

 

7.000%, 10/1/2024

    789,250  

4,281,000

 

8.000%, 1/15/2025h

    3,093,023  
 

CrownRock Finance, Inc.

 

3,750,000

 

5.625%, 10/15/2025f

    3,773,363  
 

Diamondback Energy, Inc.

 

3,210,000

 

4.750%, 11/1/2024

    3,286,238  
 

Energy Transfer Operating, LP

 

4,245,000

 

5.500%, 6/1/2027

    4,794,527  
 

EnLink Midstream Partners, LP

 

530,000

 

4.400%, 4/1/2024

    510,417  
 

Murphy Oil Corporation

 

1,310,000

 

6.875%, 8/15/2024

    1,368,950  

1,870,000

 

5.750%, 8/15/2025

    1,898,050  
 

Nabors Industries, Inc.

 

3,200,000

 

5.750%, 2/1/2025

    2,368,000  
 

NGPL Pipeco, LLC

 

3,210,000

 

4.875%, 8/15/2027f

    3,441,461  
 

Noble Holding International, Ltd.

 

3,210,000

 

7.750%, 1/15/2024h

    2,086,500  
 

Pacific Drilling First Lien Escrow Issuer, Ltd.

 

2,115,000

 

8.375%, 10/1/2023f

    1,776,600  
 

Pacific Drilling Second Lien Escrow Issuer, Ltd.

 

530,833

 

11.000%, PIK 12.000%, 4/1/2024f,h,i

    318,500  
 

Parsley Energy, LLC

 

3,200,000

 

5.625%, 10/15/2027f

    3,304,000  
 

Precision Drilling Corporation

 

1,180,000

 

7.750%, 12/15/2023

    1,146,311  

1,740,000

 

7.125%, 1/15/2026f

    1,609,500  
 

Rowan Companies, Inc.

 

3,745,000

 

4.750%, 1/15/2024

    2,209,550  
 

Sanchez Energy Corporation

 

3,740,000

 

7.250%, 2/15/2023e,f,h

    2,692,800  
 

SM Energy Company

 

2,675,000

 

5.000%, 1/15/2024

    2,400,813  
 

Southwestern Energy Company

 

4,285,000

 

7.500%, 4/1/2026

    3,727,950  
 

Sunoco, LP

 

2,675,000

 

4.875%, 1/15/2023

    2,745,219  

1,090,000

 

5.500%, 2/15/2026

    1,137,600  
 

Tallgrass Energy Partners, LP

 

3,250,000

 

4.750%, 10/1/2023f

    3,258,125  

4,285,000

 

5.500%, 1/15/2028f

    4,188,159  
 

Targa Resources Partners, LP

 

4,275,000

 

5.125%, 2/1/2025

    4,396,196  
 

Transocean Pontus, Ltd.

 

476,150

 

6.125%, 8/1/2025f

    483,292  
Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Energy (13.1%) - continued

 
 

Transocean, Inc.

 

$3,150,000

 

7.250%, 11/1/2025f

    $2,775,938  

1,070,000

 

7.500%, 1/15/2026f

    949,625  

3,745,000

 

7.500%, 4/15/2031

    2,640,225  
 

USA Compression Partners LP

 

2,390,000

 

6.875%, 9/1/2027f

    2,467,675  
 

W&T Offshore, Inc.

 

3,445,000

 

9.750%, 11/1/2023f

    3,288,666  
 

WPX Energy, Inc.

 

1,835,000

 

8.250%, 8/1/2023

    2,064,375  

930,000

 

5.250%, 10/15/2027

    936,975  
 

 

 
 

Total

    114,619,541  
 

 

 

Financials (8.1%)

 
 

Ally Financial, Inc.

 

1,575,000

 

4.625%, 5/19/2022

    1,634,062  

4,000,000

 

5.750%, 11/20/2025

    4,480,080  
 

Avolon Holdings Funding, Ltd.

 

1,070,000

 

5.500%, 1/15/2023f

    1,141,701  

2,670,000

 

5.125%, 10/1/2023f

    2,832,603  
 

Chobani, LLC

 

2,130,000

 

7.500%, 4/15/2025f

    2,039,475  
 

CIT Group, Inc.

 

1,429,000

 

5.000%, 8/15/2022

    1,513,883  

1,251,000

 

5.000%, 8/1/2023

    1,332,315  
 

Credit Acceptance Corporation

 

2,660,000

 

6.625%, 3/15/2026f

    2,846,200  
 

Drawbridge Special Opportunities Fund, LP

 

3,785,000

 

5.000%, 8/1/2021f

    3,833,658  
 

Fortress Transportation and Infrastructure Investors, LLC

 

1,000,000

 

6.750%, 3/15/2022f

    1,045,000  
 

Genworth Holdings, Inc.

 

3,430,000

 

4.900%, 8/15/2023h

    3,257,128  
 

Global Aircraft Leasing Company, Ltd.

 

4,240,000

 

6.500%, PIK %, 9/15/2024f,i

    4,293,000  
 

Icahn Enterprises, LP

 

2,650,000

 

4.750%, 9/15/2024f

    2,647,350  

5,310,000

 

6.250%, 5/15/2026f

    5,562,225  
 

Iron Mountain, Inc.

 

2,140,000

 

5.750%, 8/15/2024

    2,161,400  
 

MPT Operating Partnership, LP

 

3,010,000

 

5.500%, 5/1/2024

    3,089,012  

1,340,000

 

5.000%, 10/15/2027

    1,403,650  

2,650,000

 

4.625%, 8/1/2029

    2,729,500  
 

Park Aerospace Holdings, Ltd.

 

1,605,000

 

5.250%, 8/15/2022f

    1,691,509  

4,285,000

 

4.500%, 3/15/2023f

    4,434,118  

1,995,000

 

5.500%, 2/15/2024f

    2,155,398  
 

Quicken Loans, Inc.

 

4,015,000

 

5.750%, 5/1/2025f

    4,140,469  
 

Royal Bank of Scotland Group plc

 

3,100,000

 

5.125%, 5/28/2024

    3,304,656  
 

Synchrony Financial

 

1,340,000

 

4.250%, 8/15/2024

    1,413,797  

4,280,000

 

3.950%, 12/1/2027

    4,388,359  
 

Trivium Packaging Finance

 

1,060,000

 

5.500%, 8/15/2026f

    1,114,272  

530,000

 

8.500%, 8/15/2027f

    573,063  
 

 

 
 

Total

    71,057,883  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

76


HIGH YIELD PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Foreign Government (0.1%)

 
 

Argentina Government International Bond

 

$1,060,000

 

6.875%, 1/26/2027

    $444,151  
 

 

 
 

Total

    444,151  
 

 

 

Technology (5.8%)

 
 

Anixter, Inc.

 

2,455,000

 

5.125%, 10/1/2021

    2,553,200  
 

CommScope Finance, LLC

 

1,600,000

 

6.000%, 3/1/2026f

    1,655,680  
 

CommScope Technologies Finance, LLC

 

4,775,000

 

6.000%, 6/15/2025f

    4,309,437  
 

Diamond Finance Corporation

 

4,795,000

 

7.125%, 6/15/2024f

    5,061,123  
 

Diamond Sports Group, LLC

 

2,390,000

 

5.375%, 8/15/2026f

    2,479,625  

2,385,000

 

6.625%, 8/15/2027f,h

    2,470,979  
 

Equinix, Inc.

 

4,260,000

 

5.750%, 1/1/2025

    4,435,938  
 

Harland Clarke Holdings Corporation

 

4,020,000

 

8.375%, 8/15/2022f

    3,296,400  
 

Inception Merger Sub, Inc.

 

6,355,000

 

8.625%, 11/15/2024f,h

    5,845,965  
 

Iron Mountain, Inc.

 

3,745,000

 

5.250%, 3/15/2028f

    3,871,281  
 

NCR Corporation

 

4,240,000

 

5.750%, 9/1/2027f

    4,388,400  
 

Nielsen Company SARL

 

3,720,000

 

5.000%, 2/1/2025f,h

    3,668,850  
 

Plantronics, Inc.

 

2,390,000

 

5.500%, 5/31/2023f

    2,395,975  
 

Seagate HDD Cayman

 

1,096,000

 

4.750%, 1/1/2025

    1,136,138  
 

SS&C Technologies, Inc.

 

3,200,000

 

5.500%, 9/30/2027f

    3,344,080  
 

 

 
 

Total

    50,913,071  
 

 

 

Transportation (1.8%)

 
 

American Airlines Group, Inc.

 

3,720,000

 

5.000%, 6/1/2022f

    3,862,662  
 

Hertz Corporation

 

2,100,000

 

5.500%, 10/15/2024f

    2,103,150  

1,590,000

 

7.125%, 8/1/2026f

    1,659,562  
 

United Continental Holdings, Inc.

 

3,000,000

 

4.250%, 10/1/2022

    3,102,900  
 

XPO Logistics, Inc.

 

2,670,000

 

6.125%, 9/1/2023f

    2,756,775  

2,130,000

 

6.750%, 8/15/2024f

    2,305,725  
 

 

 
 

Total

    15,790,774  
 

 

 

Utilities (3.9%)

 
 

AES Corporation

 

2,675,000

 

4.500%, 3/15/2023

    2,735,187  
 

Dynegy, Inc.

 

3,745,000

 

8.125%, 1/30/2026f

    4,016,512  
 

Electricite de France SA

 

2,500,000

 

5.250%, 1/29/2023d,f,k

    2,559,375  
 

GFL Environmental, Inc.

 

1,060,000

 

8.500%, 5/1/2027f

    1,175,275  
 

NextEra Energy Operating Partners, LP

 

5,290,000

 

3.875%, 10/15/2026f

    5,290,000  
 

NRG Energy, Inc.

 

1,680,000

 

7.250%, 5/15/2026

    1,840,020  
Principal
Amount
  Long-Term Fixed Income (91.3%)   Value

Utilities (3.9%) - continued

 

$1,330,000

 

5.250%, 6/15/2029f

    $1,430,149  
 

Suburban Propane Partners, LP

 

3,195,000

 

5.875%, 3/1/2027

    3,265,354  
 

Talen Energy Supply, LLC

 

2,140,000

 

6.500%, 6/1/2025

    1,626,400  

1,590,000

 

7.250%, 5/15/2027f

    1,615,917  
 

Terraform Global Operating, LLC

 

2,660,000

 

6.125%, 3/1/2026f

    2,733,150  
 

TerraForm Power Operating, LLC

 

2,140,000

 

4.250%, 1/31/2023f

    2,182,800  

2,940,000

 

5.000%, 1/31/2028f

    3,057,600  
 

Vistra Operations Company, LLC

 

720,000

 

5.000%, 7/31/2027f

    741,370  
 

 

 
 

Total

    34,269,109  
 

 

 
 
 

 

 
 

Total Long-Term Fixed Income

(cost $789,705,750)

    796,460,900  
 

 

 
Shares   Collateral Held for Securities Loaned
(2.2%)
  Value

18,958,168

 

Thrivent Cash Management Trust

    18,958,168  
 

 

 
 

Total Collateral Held for Securities Loaned

(cost $18,958,168)

    18,958,168  
 

 

 
Shares   Preferred Stock (0.4%)   Value

Financials (0.4%)

 

92,627

 

Bank of America Corporation, 5.000%k

    2,376,809  

53,000

 

Federal National Mortgage Association, 0.000%h,k,l

    707,550  
 

 

 
 

Total

    3,084,359  
 

 

 
 
 

 

 
 

Total Preferred Stock

(cost $2,849,652)

    3,084,359  
 

 

 
Shares   Common Stock (0.1%)   Value

Industrials (<0.1%)

 

930,630

 

Abengoa SA, Class Al

    27,387  

9,928,936

 

Abengoa SA, Class Bl

    108,221  
 

 

 
 

Total

    135,608  
 

 

 

Materials (0.1%)

 

52,569

 

Hexion Holdings Corporationh,l

    591,401  
 

 

 
 

Total

    591,401  
 

 

 
 
 

 

 
 

Total Common Stock

(cost $1,017,613)

    727,009  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (2.9%)   Value
 

Thrivent Core Short-Term Reserve Fund

 

2,515,334

 

2.230%

    25,153,343  
 

U.S. Treasury Bills

 

500,000

 

1.917%, 11/29/2019m

    498,523  
 

 

 
 

Total Short-Term Investments

(cost $25,651,772)

    25,651,866  
 

 

 
 

Total Investments

(cost $876,844,439) 101.3%

    $883,451,468  
 

 

 
 

Other Assets and Liabilities, Net

(1.3%)

    (11,588,403
 

 

 
 

Total Net Assets 100.0%

    $871,863,065  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

77


HIGH YIELD PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

a

The stated interest rate represents the weighted average of all contracts within the bank loan facility.

b

All or a portion of the loan is unfunded.

c

Denotes investments purchased on a when-issued or delayed delivery basis.

d

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

e

In bankruptcy. Interest is not being accrued.

f

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $510,425,926 or 58.5% of total net assets.

g

Defaulted security. Interest is not being accrued.

h

All or a portion of the security is on loan.

i

Denotes payment-in-kind security. The security may pay an interest or dividend payment with additional fixed income or equity securities in lieu of, or in addition to a cash payment. The cash rate and/or payment-in-kind rate shown are as of September 30, 2019.

j

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

k

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

l

Non-income producing security.

m

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

*

Denotes restricted securities. Restricted securities are investment securities which cannot be offered for public sale without first being registered under the Securities Act of 1933. The value of all restricted securities held in High Yield Portfolio as of September 30, 2019 was $396,510 or 0.0% of total net assets. The following table indicates the acquisition date and cost of restricted securities shown in the schedule as of September 30, 2019.

 

Security    Acquisition Date      Cost  

Abengoa Abenewco 2 Bis SA,

     

Convertible, 4/26/2024

     4/26/2019            $473,770    

Midwest Vanadium, Pty. Ltd.,

     

2/15/2018

     2/9/2011            3,028,997    

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent High Yield Portfolio as of September 30, 2019:

 

Securities Lending Transactions     

Long-Term Fixed Income

   $ 17,352,684    

Common Stock

     718,849    

Total lending

   $ 18,071,533    
Gross amount payable upon return of collateral for securities loaned    $ 18,958,168    

Net amounts due to counterparty

     $886,635    
Definitions:
PIK      -     Payment-In-Kind
REIT      -     Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Reference Rate Index:
LIBOR 1M            -       ICE Libor USD Rate 1 Month
LIBOR 3M            -       ICE Libor USD Rate 3 Month
PRIME            -       Federal Reserve Prime Loan Rate
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

78


HIGH YIELD PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing High Yield Portfolio’s assets carried at fair value.

 

Investments in Securities    Total              Level 1          Level 2              Level 3          

Bank Loans

              

Basic Materials

     1,560,868                  1,560,868         

Capital Goods

     5,856,767                  5,856,767         

Communications Services

     10,606,445                  10,606,445         

Consumer Cyclical

     8,620,626                  8,620,626         

Consumer Non-Cyclical

     3,975,446                  3,975,446         

Financials

     7,949,014                  7,949,014         

Long-Term Fixed Income

              

Basic Materials

     55,639,285                  55,639,285         

Capital Goods

     88,220,419                  88,220,419         

Communications Services

     131,301,018                  131,282,709        18,309  

Consumer Cyclical

     120,834,497                  120,834,497         

Consumer Non-Cyclical

     113,371,152                  113,371,152         

Energy

     114,619,541                  114,619,541         

Financials

     71,057,883                  71,057,883         

Foreign Government

     444,151                  444,151         

Technology

     50,913,071                  50,913,071         

Transportation

     15,790,774                  15,790,774         

Utilities

     34,269,109                  34,269,109         

Preferred Stock

              

Financials

     3,084,359           3,084,359                

Common Stock

              

Industrials

     135,608                  135,608         

Materials

     591,401           591,401                

Short-Term Investments

     498,523                  498,523         

Subtotal Investments in Securities

     $839,339,957                 $3,675,760        $835,645,888        $18,309  
Other Investments *    Total                              

Affiliated Short-Term Investments

     25,153,343  

Collateral Held for Securities Loaned

     18,958,168  

Subtotal Other Investments

     $44,111,511  
          

Total Investments at Value

     $883,451,468  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in High Yield Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $41,060        $179,908        $195,815        $25,153        2,515        2.9%  

Total Affiliated Short-Term Investments

     41,060                          25,153                 2.9  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     48,896        103,765        133,703        18,958        18,958        2.2  

Total Collateral Held for Securities Loaned

     48,896                          18,958                 2.2  

Total Value

     $89,956                          $44,111                    

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

79


HIGH YIELD PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Portfolio    Net Realized    
Gain/(Loss)    
     Change in    
Unrealized    
Appreciation/    
(Depreciation)    
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $761  

Total Income from Affiliated Investments

                                $761  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          251  

Total Affiliated Income from Securities Loaned, Net

                                $251  

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

80


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (1.3%)a   Value

Basic Materials (<0.1%)

 
 

Ball Metalpack Finco, LLC, Term Loan

 

$98,750

 

6.624%, (LIBOR 3M + 4.500%), 7/31/2025b

    $92,578  
 

Big River Steel, LLC, Term Loan

 

240,100

 

7.104%, (LIBOR 3M + 5.000%), 8/23/2023b,c

    237,699  
 

MRC Global (US), Inc., Term Loan

 

256,090

 

5.044%, (LIBOR 1M + 3.000%), 9/22/2024b

    256,090  
 

 

 
 

Total

    586,367  
 

 

 

Capital Goods (0.1%)

 
 

Advanced Disposal Services, Inc., Term Loan

 

447,648

 

4.197%, (LIBOR 1W + 2.250%), 11/10/2023b

    448,826  
 

GFL Environmental, Inc., Term Loan

 

668,233

 

5.044%, (LIBOR 1M + 3.000%), 5/31/2025b

    662,266  
 

Sotera Health Holdings, LLC, Term Loan

 

318,630

 

5.044%, (LIBOR 1M + 3.000%), 5/15/2022b

    314,647  
 

Vertiv Group Corporation, Term Loan

 

629,599

 

6.044%, (LIBOR 1M + 4.000%), 11/15/2023b

    598,119  
 

 

 
 

Total

    2,023,858  
 

 

 

Communications Services (0.3%)

 
 

Altice France SA, Term Loan

 

195,500

 

4.794%, (LIBOR 1M + 2.750%), 7/31/2025b

    190,429  
 

CenturyLink, Inc., Term Loan

 

742,207

 

4.794%, (LIBOR 1M + 2.750%), 1/31/2025b

    736,848  
 

Frontier Communications Corporation, Term Loan

 

439,875

 

5.800%, (LIBOR 1M + 3.750%), 6/15/2024b

    438,463  
 

HCP Acquisition, LLC, Term Loan

 

352,637

 

5.044%, (LIBOR 1M + 3.000%), 5/16/2024b

    352,020  
 

Intelsat Jackson Holdings SA, Term Loan

 

300,000

 

5.804%, (LIBOR 1M + 3.750%), 11/27/2023b

    300,657  
 

Liberty Cablevision of Puerto Rico, LLC, Term Loan

 

675,000

 

5.528%, (LIBOR 1M + 3.500%), 1/7/2022b,c

    672,469  
 

Sprint Communications, Inc., Term Loan

 

940,875

 

4.563%, (LIBOR 1M + 2.500%), 2/3/2024b

    933,527  
 

TNS, Inc., Term Loan

 

351,887

 

6.260%, (LIBOR 3M + 4.000%), 8/14/2022b

    346,697  
 

Virgin Media Bristol, LLC, Term Loan

 

580,000

 

4.528%, (LIBOR 1M + 2.500%), 1/15/2026b

    580,000  
 

WideOpenWest Finance, LLC, Term Loan

 

328,300

 

5.294%, (LIBOR 1M + 3.250%), 8/19/2023b

    316,399  
Principal
Amount
  Bank Loans (1.3%)a   Value

Communications Services (0.3%) - continued

 
 

Windstream Services, LLC, Term Loan

 

$248,097

 

10.000%, (PRIME + 5.000%), 3/30/2021b,d

    $251,455  
 

 

 
 

Total

    5,118,964  
 

 

 

Consumer Cyclical (0.2%)

 
 

Cengage Learning, Inc., Term Loan

 

223,898

 

6.294%, (LIBOR 1M + 4.250%), 6/7/2023b

    211,397  
 

Golden Entertainment, Inc., Term Loan

 

593,475

 

5.060%, (LIBOR 1M + 3.000%), 10/20/2024b,c

    594,959  
 

Golden Nugget, LLC, Term Loan

 

478,928

 

4.800%, (LIBOR 1M + 2.750%), 10/4/2023b,e,f

    478,081  
 

Scientific Games International, Inc., Term Loan

 

886,500

 

4.876%, (LIBOR 1M + 2.750%), 8/14/2024b

    878,193  
 

Stars Group Holdings BV, Term Loan

 

185,036

 

5.604%, (LIBOR 3M + 3.500%), 7/10/2025b

    185,730  
 

Tenneco, Inc., Term Loan

 

297,750

 

5.044%, (LIBOR 1M + 3.000%), 10/1/2025b

    279,141  
 

 

 
 

Total

        2,627,501  
 

 

 

Consumer Non-Cyclical (0.3%)

 
 

Air Medical Group Holdings, Inc., Term Loan

 

776,175

 

5.307%, (LIBOR 1M + 3.250%), 4/28/2022b

    724,916  

191,588

 

6.294%, (LIBOR 1M + 4.250%), 3/14/2025b

    179,054  
 

Amneal Pharmaceuticals, LLC, Term Loan

 

345,544

 

5.563%, (LIBOR 1M + 3.500%), 5/4/2025b

    293,712  
 

Bausch Health Companies, Inc., Term Loan

 

503,866

 

5.039%, (LIBOR 1M + 3.000%), 6/1/2025b

    505,705  
 

Endo International plc, Term Loan

 

530,503

 

6.313%, (LIBOR 1M + 4.250%), 4/27/2024b

    481,930  
 

JBS USA LUX SA, Term Loan

 

253,725

 

4.544%, (LIBOR 1M + 2.500%), 5/1/2026b

    254,783  
 

McGraw-Hill Global Education Holdings, LLC, Term Loan

 

671,590

 

6.044%, (LIBOR 1M + 4.000%), 5/4/2022b

    630,207  
 

MPH Acquisition Holdings, LLC, Term Loan

 

385,308

 

4.854%, (LIBOR 3M + 2.750%), 6/7/2023b

    366,443  
 

Plantronics, Inc., Term Loan

 

539,676

 

4.544%, (LIBOR 1M + 2.500%), 7/2/2025b

    538,101  
 

 

 
 

Total

    3,974,851  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

81


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (1.3%)a   Value

Energy (0.1%)

 
 

HFOTCO, LLC, Term Loan

 

$444,375

 

4.800%, (LIBOR 1M + 2.750%), 6/26/2025b

    $442,989  
 

Radiate Holdco, LLC, Term Loan

 

977,456

 

5.044%, (LIBOR 1M + 3.000%), 2/1/2024b

    973,008  
 

 

 
 

Total

    1,415,997  
 

 

 

Financials (0.2%)

 
 

Avolon TLB Borrower 1 US, LLC, Term Loan

 

297,259

 

3.794%, (LIBOR 1M + 1.750%), 1/15/2025b

    298,174  
 

DTZ U.S. Borrower, LLC, Term Loan

 

297,000

 

5.294%, (LIBOR 1M + 3.250%), 8/21/2025b

    297,148  
 

GGP Nimbus, LLC, Term Loan

 

420,750

 

4.544%, (LIBOR 1M + 2.500%), 8/24/2025b

    414,704  
 

Harland Clarke Holdings Corporation, Term Loan

 

482,046

 

6.854%, (LIBOR 3M + 4.750%), 11/3/2023b

    374,791  
 

Level 3 Parent, LLC, Term Loan

 

800,000

 

4.294%, (LIBOR 1M + 2.250%), 2/22/2024b

    801,168  
 

Sable International Finance, Ltd., Term Loan

 

852,800

 

5.294%, (LIBOR 2M + 3.250%), 1/31/2026b

    855,759  
 

Tronox Finance, LLC, Term Loan

 

646,762

 

4.817%, (LIBOR 1M + 2.750%), 9/22/2024b

    646,187  
 

 

 
 

Total

    3,687,931  
 

 

 

Technology (0.1%)

 
 

Prime Security Services Borrower, LLC, Term Loan

 

495,000

 

0.000%, (LIBOR 1M + 3.250%), 9/23/2026b,e,f

    489,511  
 

Rackspace Hosting, Inc., Term Loan

 

533,044

 

5.287%, (LIBOR 3M + 3.000%), 11/3/2023b

    488,316  
 

 

 
 

Total

    977,827  
 

 

 
 
 

 

 
 

Total Bank Loans

(cost $20,809,139)

    20,413,296  
 

 

 
Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Asset-Backed Securities (1.1%)

 
 

Babson CLO, Ltd.

 

3,900,000

 

5.178%, (LIBOR 3M + 2.900%), 7/20/2029, Ser. 2018-3A, Class Db,g

    3,645,490  
 

Magnetite XII, Ltd.

 

3,200,000

 

3.403%, (LIBOR 3M + 1.100%), 10/15/2031, Ser. 2015-12A, Class ARRb,g

    3,190,186  
 

Octagon Investment Partners XVI, Ltd.

 

2,600,000

 

3.703%, (LIBOR 3M + 1.400%), 7/17/2030, Ser. 2013-1A, Class A2Rb,g

    2,552,883  

Principal

Amount

  Long-Term Fixed Income (92.7%)   Value

Asset-Backed Securities (1.1%) - continued

 
 

Shackleton CLO, Ltd.

 

$2,150,000

 

3.473%, (LIBOR 3M + 1.170%), 7/15/2031, Ser. 2015-7RA, Class A1b,g

    $2,139,572  
 

Sound Point CLO X, Ltd.

 

3,200,000

 

4.978%, (LIBOR 3M + 2.700%), 1/20/2028, Ser. 2015-3A, Class DRb,g

    3,111,382  
 

THL Credit Wind River CLO, Ltd.

 

3,200,000

 

5.153%, (LIBOR 3M + 2.850%), 7/15/2028, Ser. 2016-1A, Class DRb,g

    3,111,818  
 

 

 
 

Total

    17,751,331  
 

 

 

Basic Materials (2.9%)

 
 

Alcoa, Inc.

 

640,000

 

5.125%, 10/1/2024

    681,600  
 

Anglo American Capital plc

 

3,200,000

 

3.625%, 9/11/2024g

    3,298,887  

2,550,000

 

4.750%, 4/10/2027g

    2,750,419  
 

Cleveland-Cliffs, Inc.

 

640,000

 

5.750%, 3/1/2025

    628,800  
 

Dow Chemical Company

 

1,920,000

 

3.000%, 11/15/2022

    1,956,284  
 

Glencore Funding, LLC

 

3,180,000

 

4.125%, 5/30/2023g

    3,332,914  

2,880,000

 

4.000%, 3/27/2027g

    2,960,851  
 

International Paper Company

 

2,240,000

 

3.000%, 2/15/2027h

    2,279,618  
 

Kinross Gold Corporation

 

640,000

 

5.950%, 3/15/2024

    712,352  

3,980,000

 

4.500%, 7/15/2027

    4,173,945  
 

LyondellBasell Industries NV

 

1,900,000

 

6.000%, 11/15/2021

    2,030,374  
 

Novelis Corporation

 

640,000

 

5.875%, 9/30/2026g

    671,200  
 

Packaging Corporation of America

 

2,700,000

 

2.450%, 12/15/2020

    2,705,606  
 

Syngenta Finance NV

 

3,175,000

 

4.441%, 4/24/2023g

    3,318,182  
 

Teck Resources, Ltd.

 

3,270,000

 

6.125%, 10/1/2035

    3,705,316  
 

Tronox Finance plc

 

640,000

 

5.750%, 10/1/2025g

    605,280  
 

Vale Overseas, Ltd.

 

869,000

 

4.375%, 1/11/2022h

    897,242  

1,920,000

 

6.250%, 8/10/2026

    2,212,800  
 

Westlake Chemical Corporation

 

3,200,000

 

3.600%, 8/15/2026

    3,304,619  
 

WestRock Company

 

1,270,000

 

3.750%, 3/15/2025

    1,337,045  
 

Weyerhaeuser Company

 

2,570,000

 

7.375%, 3/15/2032

    3,601,867  
 

 

 
 

Total

    47,165,201  
 

 

 

Capital Goods (3.2%)

 
 

Amsted Industries, Inc.

 

260,000

 

5.625%, 7/1/2027g

    274,300  
 

BAE Systems plc

 

1,970,000

 

4.750%, 10/11/2021g

    2,055,871  
 

Bombardier, Inc.

 

550,000

 

7.500%, 3/15/2025g

    549,312  
 

CNH Industrial Capital, LLC

 

2,560,000

 

4.875%, 4/1/2021

    2,650,061  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

82


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Capital Goods (3.2%) - continued

 
 

CNH Industrial NV

 

$2,560,000

 

3.850%, 11/15/2027

    $2,638,651  
 

Crown Cork & Seal Company, Inc.

 

640,000

 

7.375%, 12/15/2026

    777,600  
 

General Electric Capital Corporation

 

3,200,000

 

3.119%, (LIBOR 3M + 1.000%), 3/15/2023b

    3,151,350  
 

General Electric Company

 

5,200,000

 

5.000%, 1/21/2021b,i

    4,933,500  
 

L3Harris Technologies, Inc.

 

1,280,000

 

4.950%, 2/15/2021g

    1,315,121  
 

Northrop Grumman Corporation

 

2,250,000

 

3.250%, 1/15/2028

    2,361,888  
 

Owens-Brockway Glass Container, Inc.

 

1,000,000

 

5.875%, 8/15/2023g

    1,061,250  
 

Parker-Hannifin Corporation

 

3,250,000

 

4.000%, 6/14/2049

    3,581,633  
 

Republic Services, Inc.

 

3,170,000

 

3.550%, 6/1/2022

    3,282,131  
 

Roper Technologies, Inc.

 

1,920,000

 

3.125%, 11/15/2022

    1,971,298  

2,240,000

 

3.800%, 12/15/2026

    2,394,832  
 

Spirit AeroSystems, Inc.

 

3,200,000

 

2.919%, (LIBOR 3M + 0.800%), 6/15/2021b

    3,197,325  
 

Textron, Inc.

 

1,280,000

 

4.300%, 3/1/2024

    1,368,687  

630,000

 

3.875%, 3/1/2025

    665,091  

2,560,000

 

3.650%, 3/15/2027

    2,671,711  
 

United Rentals North America, Inc.

 

625,000

 

5.500%, 7/15/2025

    650,313  
 

United Technologies Corporation

 

1,925,000

 

3.950%, 8/16/2025

    2,107,354  

3,825,000

 

4.450%, 11/16/2038

    4,554,032  

3,850,000

 

4.625%, 11/16/2048

    4,817,953  
 

 

 
 

Total

    53,031,264  
 

 

 

Collateralized Mortgage Obligations (0.1%)

 
 

Countrywide Alternative Loan Trust

 

1,205,256

 

6.000%, 1/25/2037, Ser. 2006-39CB, Class 1A16

    1,202,442  
 

GMAC Mortgage Corporation Loan Trust

 

247,611

 

2.518%, (LIBOR 1M + 0.500%), 8/25/2035, Ser. 2005-HE1, Class A2b,j

    293,795  
 

IndyMac Seconds Asset-Backed Trust

 

335,509

 

2.358%, (LIBOR 1M + 0.340%), 10/25/2036, Ser. 2006-2B, Class Ab,j

    183,331  
 

Wachovia Mortgage Loan Trust, LLC

 

461,454

 

4.848%, 5/20/2036, Ser. 2006-A, Class 2A1b

    456,893  
 

 

 
 

Total

    2,136,461  
 

 

 

Communications Services (7.8%)

 
 

AMC Networks, Inc.

 

640,000

 

5.000%, 4/1/2024

    659,200  
 

American Tower Corporation

 

2,560,000

 

3.125%, 1/15/2027

    2,611,008  
 

AT&T, Inc.

 

3,190,000

 

4.450%, 4/1/2024

    3,450,892  

3,850,000

 

3.312%, (LIBOR 3M + 1.180%), 6/12/2024b

    3,920,455  
Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Communications Services (7.8%) - continued

 

$1,240,000

 

3.400%, 5/15/2025

    $1,294,775  

5,120,000

 

4.250%, 3/1/2027

    5,571,677  

2,643,000

 

4.300%, 2/15/2030

    2,908,763  

3,190,000

 

4.300%, 12/15/2042

    3,330,813  
 

British Telecommunications plc

 

3,200,000

 

4.500%, 12/4/2023

    3,441,819  
 

CCO Holdings, LLC

 

640,000

 

5.125%, 2/15/2023

    650,400  

640,000

 

5.500%, 5/1/2026g

    670,336  
 

Charter Communications Operating, LLC

 

3,300,000

 

4.908%, 7/23/2025

    3,626,627  

2,475,000

 

6.484%, 10/23/2045

    3,015,776  
 

Comcast Corporation

 

3,600,000

 

4.950%, 10/15/2058

    4,618,672  

1,920,000

 

3.375%, 8/15/2025

    2,030,395  

605,000

 

6.400%, 5/15/2038

    859,065  

3,150,000

 

4.600%, 10/15/2038

    3,774,535  

3,200,000

 

4.650%, 7/15/2042

    3,832,207  
 

Cox Communications, Inc.

 

3,200,000

 

3.350%, 9/15/2026g

    3,305,797  

560,000

 

4.800%, 2/1/2035g

    609,104  

2,405,000

 

4.700%, 12/15/2042g

    2,615,073  
 

Crown Castle International Corporation

 

960,000

 

3.400%, 2/15/2021

    973,139  

4,160,000

 

5.250%, 1/15/2023

    4,538,964  

2,200,000

 

3.150%, 7/15/2023

    2,259,150  
 

Discovery Communications, LLC

 

1,830,000

 

3.500%, 6/15/2022

    1,875,258  

1,600,000

 

4.900%, 3/11/2026

    1,778,102  

3,300,000

 

5.300%, 5/15/2049

    3,656,577  
 

Fox Corporation

 

3,200,000

 

5.476%, 1/25/2039g

    3,930,670  
 

Frontier Communications Corporation

 

260,000

 

8.000%, 4/1/2027g

    274,219  
 

Interpublic Group of Companies, Inc.

 

3,200,000

 

3.750%, 10/1/2021

    3,280,393  
 

Level 3 Financing, Inc.

 

640,000

 

5.250%, 3/15/2026

    665,504  
 

Nexstar Escrow Corporation

 

640,000

 

5.625%, 8/1/2024g

    666,144  
 

Omnicom Group, Inc.

 

940,000

 

3.650%, 11/1/2024

    989,981  
 

Sinclair Television Group, Inc.

 

640,000

 

5.875%, 3/15/2026g

    669,600  
 

Sprint Corporation

 

960,000

 

7.125%, 6/15/2024

    1,034,688  
 

Telefonica Emisiones SAU

 

1,260,000

 

4.665%, 3/6/2038

    1,386,496  
 

Time Warner Cable, Inc.

 

3,800,000

 

4.125%, 2/15/2021

    3,868,349  
 

Time Warner Entertainment Company, LP

 

1,720,000

 

8.375%, 3/15/2023

    2,036,546  
 

T-Mobile USA, Inc.

 

640,000

 

4.500%, 2/1/2026

    658,752  
 

VeriSign, Inc.

 

640,000

 

4.750%, 7/15/2027

    670,400  
 

Verizon Communications, Inc.

 

2,740,000

 

3.500%, 11/1/2024

    2,897,688  

4,400,000

 

3.258%, (LIBOR 3M + 1.100%), 5/15/2025b

    4,468,007  

1,920,000

 

5.250%, 3/16/2037

    2,386,319  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

83


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Communications Services (7.8%) - continued

 

$3,830,000

 

4.862%, 8/21/2046

    $4,682,996  
 

Viacom, Inc.

 

4,500,000

 

6.875%, 4/30/2036

    5,776,972  

3,200,000

 

4.375%, 3/15/2043

    3,297,293  
 

Virgin Media Secured Finance plc

 

640,000

 

5.250%, 1/15/2026g

    657,600  
 

Vodafone Group plc

 

2,150,000

 

5.000%, 5/30/2038

    2,452,370  

3,250,000

 

4.875%, 6/19/2049

    3,621,102  
 

Walt Disney Company

 

1,900,000

 

7.625%, 11/30/2028g

    2,673,220  

2,105,000

 

6.400%, 12/15/2035g

    3,036,054  
 

 

 
 

Total

    127,959,942  
 

 

 

Consumer Cyclical (4.9%)

 
 

Amazon.com, Inc.

 

4,480,000

 

4.050%, 8/22/2047

    5,392,291  
 

American Honda Finance Corporation

 

2,600,000

 

2.150%, 9/10/2024

    2,585,692  
 

Brookfield Property REIT, Inc.

 

640,000

 

5.750%, 5/15/2026g

    668,800  
 

Brookfield Residential Properties, Inc.

 

400,000

 

6.250%, 9/15/2027g

    402,000  
 

Cinemark USA, Inc.

 

640,000

 

4.875%, 6/1/2023

    648,800  
 

Daimler Finance North America, LLC

 

1,900,000

 

2.837%, (LIBOR 3M + 0.550%), 5/4/2021b,g

    1,898,957  
 

Ford Motor Credit Company, LLC

 

1,700,000

 

2.597%, 11/4/2019

    1,699,924  

1,900,000

 

3.470%, 4/5/2021

    1,909,493  

2,600,000

 

5.596%, 1/7/2022

    2,731,703  

3,200,000

 

2.979%, 8/3/2022

    3,168,404  

2,575,000

 

4.250%, 9/20/2022

    2,636,487  

3,200,000

 

3.350%, 11/1/2022

    3,203,456  
 

General Motors Company

 

3,200,000

 

3.034%, (LIBOR 3M + 0.900%), 9/10/2021b

    3,197,026  

1,230,000

 

5.000%, 4/1/2035

    1,234,625  
 

General Motors Financial Company, Inc.

 

3,100,000

 

3.450%, 4/10/2022

    3,152,075  

2,510,000

 

4.000%, 1/15/2025

    2,579,747  
 

Hanesbrands, Inc.

 

640,000

 

4.625%, 5/15/2024g

    674,406  
 

Harley-Davidson Financial Services, Inc.

 

3,380,000

 

4.050%, 2/4/2022g

    3,486,174  
 

Hertz Corporation

 

640,000

 

7.625%, 6/1/2022g

    666,400  
 

Home Depot, Inc.

 

960,000

 

2.125%, 9/15/2026

    954,216  

3,180,000

 

4.250%, 4/1/2046

    3,804,693  
 

Hyundai Capital America

 

1,850,000

 

3.000%, 3/18/2021g

    1,861,761  

3,850,000

 

2.450%, 6/15/2021g

    3,846,000  
 

Hyundai Capital Services, Inc.

 

1,920,000

 

3.000%, 3/6/2022g

    1,936,104  
 

L Brands, Inc.

 

310,000

 

5.625%, 2/15/2022

    326,662  

310,000

 

6.694%, 1/15/2027

    304,575  
 

Lennar Corporation

 

2,005,000

 

2.950%, 11/29/2020

    2,002,393  
Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Consumer Cyclical (4.9%) - continued

 

$1,900,000

 

4.125%, 1/15/2022

    $1,945,125  

1,900,000

 

4.500%, 4/30/2024

    2,001,650  
 

Live Nation Entertainment, Inc.

 

1,280,000

 

4.875%, 11/1/2024g

    1,326,128  
 

Macy’s Retail Holdings, Inc.

 

500,000

 

3.875%, 1/15/2022

    508,532  

775,000

 

2.875%, 2/15/2023

    765,193  
 

McDonald’s Corporation

 

3,175,000

 

4.450%, 3/1/2047

    3,648,050  
 

ServiceMaster Company, LLC

 

640,000

 

5.125%, 11/15/2024g

    664,000  
 

Six Flags Entertainment Corporation

 

640,000

 

4.875%, 7/31/2024g

    662,400  
 

Viking Cruises, Ltd.

 

640,000

 

5.875%, 9/15/2027g

    678,144  
 

Visa, Inc.

 

2,860,000

 

3.150%, 12/14/2025

    3,049,424  
 

Volkswagen Group of America Finance, LLC

 

3,800,000

 

4.250%, 11/13/2023g

    4,048,914  

3,800,000

 

4.750%, 11/13/2028g

    4,228,282  
 

Yum! Brands, Inc.

 

640,000

 

5.000%, 6/1/2024g

    664,000  
 

 

 
 

Total

    81,162,706  
 

 

 

Consumer Non-Cyclical (12.2%)

 
 

Abbott Laboratories

 

2,901,000

 

3.750%, 11/30/2026

    3,161,060  

1,440,000

 

4.750%, 11/30/2036

    1,769,757  

2,500,000

 

6.000%, 4/1/2039

    3,429,228  

1,920,000

 

4.900%, 11/30/2046

    2,477,194  
 

AbbVie, Inc.

 

4,460,000

 

3.200%, 5/14/2026

    4,541,527  
 

Albertson’s Companies, LLC

 

640,000

 

6.625%, 6/15/2024

    670,400  
 

Altria Group, Inc.

 

3,200,000

 

4.800%, 2/14/2029

    3,509,209  

5,150,000

 

5.800%, 2/14/2039

    5,971,926  

3,200,000

 

5.950%, 2/14/2049

    3,764,493  
 

Anheuser-Busch Companies, LLC

 

3,210,000

 

4.700%, 2/1/2036

    3,712,498  
 

Anheuser-Busch InBev Worldwide, Inc.

 

3,825,000

 

4.000%, 4/13/2028

    4,222,709  

2,550,000

 

4.600%, 4/15/2048

    2,939,506  

3,200,000

 

4.439%, 10/6/2048

    3,613,215  

3,200,000

 

5.550%, 1/23/2049

    4,189,905  
 

BAT Capital Corporation

 

2,550,000

 

3.222%, 8/15/2024

    2,580,822  
 

Baxalta, Inc.

 

1,511,000

 

4.000%, 6/23/2025

    1,628,780  
 

Bayer U.S. Finance II, LLC

 

1,280,000

 

4.250%, 12/15/2025g

    1,366,554  
 

Bayer U.S. Finance II, LLC

 

4,450,000

 

4.875%, 6/25/2048g

    4,918,807  
 

Becton, Dickinson and Company

 

3,250,000

 

3.363%, 6/6/2024

    3,390,148  

3,850,000

 

3.700%, 6/6/2027

    4,079,060  

3,300,000

 

4.669%, 6/6/2047

    3,899,801  
 

Boston Scientific Corporation

 

2,660,000

 

3.375%, 5/15/2022

    2,735,769  

1,950,000

 

3.750%, 3/1/2026

    2,084,940  

1,300,000

 

4.000%, 3/1/2028

    1,425,385  

1,722,000

 

7.375%, 1/15/2040

    2,619,966  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

84


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Consumer Non-Cyclical (12.2%) - continued

 
 

Bunge, Ltd. Finance Corporation

 

$1,920,000

 

3.500%, 11/24/2020

    $1,940,730  
 

Cargill, Inc.

 

3,250,000

 

3.250%, 5/23/2029g

    3,478,043  
 

Celgene Corporation

 

1,910,000

 

3.250%, 8/15/2022

    1,967,998  
 

Centene Escrow Corporation

 

640,000

 

6.125%, 2/15/2024

    667,328  
 

Cigna Corporation

 

3,200,000

 

4.125%, 11/15/2025

    3,445,717  

3,200,000

 

4.800%, 8/15/2038

    3,595,555  
 

Conagra Brands, Inc.

 

1,000,000

 

4.600%, 11/1/2025

    1,099,857  
 

Constellation Brands, Inc.

 

1,700,000

 

4.400%, 11/15/2025

    1,879,788  

640,000

 

3.500%, 5/9/2027

    669,523  

3,300,000

 

5.250%, 11/15/2048

    4,134,388  
 

CVS Health Corporation

 

1,870,000

 

4.750%, 12/1/2022

    1,994,393  

3,175,000

 

4.100%, 3/25/2025

    3,390,251  

1,600,000

 

3.875%, 7/20/2025

    1,694,932  

5,000,000

 

4.780%, 3/25/2038

    5,512,009  

5,190,000

 

5.050%, 3/25/2048

    5,902,237  
 

Forest Laboratories, Inc.

 

2,550,000

 

5.000%, 12/15/2021g

    2,678,899  
 

H. J. Heinz Company

 

1,860,000

 

5.200%, 7/15/2045

    1,956,381  
 

HCA, Inc.

 

640,000

 

5.375%, 2/1/2025

    699,200  

4,500,000

 

5.125%, 6/15/2039

    4,921,335  
 

Imperial Brands Finance plc

 

3,200,000

 

3.500%, 7/26/2026g

    3,198,336  
 

Imperial Tobacco Finance plc

 

2,190,000

 

3.750%, 7/21/2022g

    2,254,616  
 

JBS USA, LLC

 

640,000

 

6.500%, 4/15/2029g

    710,400  
 

Kellogg Company

 

2,550,000

 

3.125%, 5/17/2022

    2,608,229  
 

Keurig Dr Pepper, Inc.

 

1,250,000

 

3.551%, 5/25/2021

    1,277,632  
 

Kraft Foods Group, Inc.

 

3,200,000

 

6.875%, 1/26/2039

    3,945,842  
 

Kraft Heinz Foods Company

 

1,280,000

 

3.000%, 6/1/2026

    1,266,450  

3,250,000

 

4.625%, 10/1/2039g

    3,268,543  
 

Kroger Company

 

3,200,000

 

2.650%, 10/15/2026

    3,174,085  
 

Nestle Holdings, Inc.

 

3,850,000

 

3.900%, 9/24/2038g

    4,450,281  
 

Par Pharmaceutical, Inc.

 

640,000

 

7.500%, 4/1/2027g

    582,400  
 

Pernod Ricard SA

 

3,130,000

 

5.750%, 4/7/2021g

    3,293,659  
 

Perrigo Finance Unlimited Company

 

1,450,000

 

4.375%, 3/15/2026

    1,498,979  

3,200,000

 

4.900%, 12/15/2044

    2,996,781  
 

Reckitt Benckiser Treasury Services plc

 

2,880,000

 

2.750%, 6/26/2024g

    2,933,571  
 

Reynolds American, Inc.

 

4,000,000

 

4.850%, 9/15/2023

    4,329,242  

1,560,000

 

5.850%, 8/15/2045

    1,727,218  
Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Consumer Non-Cyclical (12.2%) - continued

 
 

Shire Acquisitions Investments Ireland Designated Activity Company

 

$3,200,000

 

2.875%, 9/23/2023

    $3,264,223  
 

Smithfield Foods, Inc.

 

7,500,000

 

2.650%, 10/3/2021g

    7,427,924  
 

Tenet Healthcare Corporation

 

640,000

 

5.125%, 11/1/2027g

    661,344  
 

Thermo Fisher Scientific, Inc.

 

1,280,000

 

2.950%, 9/19/2026

    1,318,657  
 

Tyson Foods, Inc.

 

1,280,000

 

3.550%, 6/2/2027

    1,356,583  
 

UnitedHealth Group, Inc.

 

3,200,000

 

2.950%, 10/15/2027

    3,303,975  

1,240,000

 

4.750%, 7/15/2045

    1,505,666  

3,225,000

 

4.450%, 12/15/2048

    3,824,796  
 

VRX Escrow Corporation

 

700,000

 

6.125%, 4/15/2025g

    726,250  
 

Zimmer Biomet Holdings, Inc.

 

3,250,000

 

3.550%, 4/1/2025

    3,412,591  
 

 

 
 

Total

    200,649,496  
 

 

 

Energy (8.4%)

 
 

Alliance Resource Operating Partners, LP

 

510,000

 

7.500%, 5/1/2025g

    503,625  
 

BP Capital Markets America, Inc.

 

1,590,000

 

3.119%, 5/4/2026

    1,659,774  

2,560,000

 

3.017%, 1/16/2027

    2,647,277  
 

BP Capital Markets plc

 

2,490,000

 

3.814%, 2/10/2024

    2,652,832  
 

Cenovus Energy, Inc.

 

3,200,000

 

4.250%, 4/15/2027h

    3,336,561  
 

Centennial Resource Production, LLC

 

640,000

 

5.375%, 1/15/2026g

    611,200  
 

Cheniere Corpus Christi Holdings, LLC

 

960,000

 

5.125%, 6/30/2027

    1,051,200  
 

Chesapeake Energy Corporation

 

640,000

 

8.000%, 1/15/2025h

    462,400  
 

Continental Resources, Inc.

 

3,200,000

 

4.375%, 1/15/2028

    3,306,449  
 

Devon Energy Corporation

 

2,600,000

 

5.000%, 6/15/2045

    3,012,583  
 

Diamondback Energy, Inc.

 

620,000

 

4.750%, 11/1/2024

    634,725  
 

El Paso Pipeline Partners Operating Company, LLC

 

3,850,000

 

5.000%, 10/1/2021

    4,026,509  

1,280,000

 

4.700%, 11/1/2042

    1,348,947  
 

Enbridge Energy Partners, LP

 

2,550,000

 

5.200%, 3/15/2020

    2,581,979  
 

Energy Transfer Operating, LP

 

3,200,000

 

6.000%, 6/15/2048

    3,782,869  
 

Energy Transfer Partners, LP

 

4,480,000

 

4.200%, 4/15/2027

    4,712,553  
 

Eni SPA

 

2,550,000

 

4.000%, 9/12/2023g

    2,699,715  
 

EnLink Midstream Partners, LP

 

1,280,000

 

4.150%, 6/1/2025

    1,187,200  

960,000

 

4.850%, 7/15/2026

    912,000  
 

Enterprise Products Operating, LLC

 

2,490,000

 

3.700%, 2/15/2026

    2,647,020  

3,200,000

 

4.875%, 8/16/2077b

    3,092,000  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

85


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Energy (8.4%) - continued

 
 

EQM Midstream Partners LP

 

$2,700,000

 

4.750%, 7/15/2023

    $2,710,166  
 

EQT Corporation

 

3,280,000

 

3.000%, 10/1/2022

    3,154,171  
 

Hess Corporation

 

1,280,000

 

3.500%, 7/15/2024

    1,306,413  

1,300,000

 

4.300%, 4/1/2027

    1,358,441  
 

Kinder Morgan, Inc.

 

1,280,000

 

5.000%, 2/15/2021g

    1,322,089  

3,175,000

 

5.200%, 3/1/2048

    3,658,550  
 

Marathon Petroleum Corporation

 

2,560,000

 

4.750%, 12/15/2023

    2,778,370  

3,220,000

 

6.500%, 3/1/2041

    4,009,852  
 

MPLX, LP

 

2,550,000

 

3.500%, 12/1/2022g

    2,622,473  

2,550,000

 

4.875%, 6/1/2025

    2,805,589  

3,250,000

 

4.800%, 2/15/2029

    3,591,314  

1,920,000

 

5.200%, 3/1/2047

    2,122,213  
 

Murphy Oil Corporation

 

640,000

 

5.750%, 8/15/2025

    649,600  
 

Newfield Exploration Company

 

3,300,000

 

5.750%, 1/30/2022

    3,524,816  

2,000,000

 

5.625%, 7/1/2024

    2,206,504  
 

Noble Energy, Inc.

 

3,240,000

 

3.900%, 11/15/2024

    3,396,904  

2,600,000

 

5.050%, 11/15/2044

    2,837,883  
 

Occidental Petroleum Corporation

 

1,920,000

 

4.300%, 8/15/2039

    1,970,802  
 

Petrobras Global Finance BV

 

2,671,000

 

5.093%, 1/15/2030g

    2,786,254  
 

Petroleos Mexicanos

 

2,600,000

 

7.690%, 1/23/2050g

    2,711,280  

2,600,000

 

6.490%, 1/23/2027g

    2,710,240  
 

Phillips 66

 

1,950,000

 

3.900%, 3/15/2028

    2,102,585  
 

Plains All American Pipeline, LP

 

2,700,000

 

5.000%, 2/1/2021

    2,769,845  

3,200,000

 

3.650%, 6/1/2022

    3,282,688  
 

Regency Energy Partners, LP

 

4,140,000

 

5.000%, 10/1/2022

    4,392,659  
 

Sabine Pass Liquefaction, LLC

 

1,910,000

 

5.750%, 5/15/2024

    2,129,112  
 

Schlumberger Holdings Corporation

 

1,920,000

 

4.000%, 12/21/2025g

    2,047,289  
 

Suncor Energy, Inc.

 

1,920,000

 

3.600%, 12/1/2024

    2,024,248  
 

Sunoco Logistics Partners Operations, LP

 

3,200,000

 

3.450%, 1/15/2023

    3,269,852  
 

Sunoco, LP

 

640,000

 

5.500%, 2/15/2026

    667,949  
 

Tallgrass Energy Partners, LP

 

640,000

 

5.500%, 1/15/2028g

    625,536  
 

Tesoro Logistics, LP

 

1,880,000

 

5.500%, 10/15/2019

    1,881,978  
 

Transocean, Inc.

 

640,000

 

7.500%, 1/15/2026g

    568,000  
 

Williams Companies, Inc.

 

3,200,000

 

7.500%, 1/15/2031

    4,208,304  
 

Williams Partners, LP

 

1,930,000

 

4.500%, 11/15/2023

    2,065,938  

1,600,000

 

3.750%, 6/15/2027

    1,655,118  
Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Energy (8.4%) - continued

 
 

Woodside Finance, Ltd.

 

$3,130,000

 

3.650%, 3/5/2025g

    $3,226,371  
 

 

 
 

Total

    138,020,814  
 

 

 

Financials (26.7%)

 
 

Aegon NV

 

2,600,000

 

2.139%, (USISDA 10Y + 0.100%), 1/15/2020b,i

    1,833,000  
 

AerCap Ireland Capital, Ltd.

 

3,200,000

 

5.000%, 10/1/2021

    3,364,485  

960,000

 

3.950%, 2/1/2022

    991,597  
 

Air Lease Corporation

 

2,510,000

 

3.750%, 2/1/2022

    2,580,071  

1,260,000

 

4.250%, 9/15/2024

    1,342,864  
 

Ally Financial, Inc.

 

640,000

 

4.125%, 2/13/2022

    654,400  
 

American International Group, Inc.

 

2,700,000

 

4.200%, 4/1/2028

    2,944,739  

3,130,000

 

4.500%, 7/16/2044

    3,484,516  
 

Ares Capital Corporation

 

3,132,000

 

3.875%, 1/15/2020

    3,140,346  
 

Associated Banc-Corporation

 

3,150,000

 

4.250%, 1/15/2025

    3,333,542  
 

Athene Holding, Ltd.

 

2,050,000

 

4.125%, 1/12/2028

    2,108,132  
 

Avolon Holdings Funding, Ltd.

 

1,300,000

 

5.250%, 5/15/2024g

    1,391,910  
 

Banco Bilbao Vizcaya Argentaria SA

 

2,600,000

 

6.500%, 3/5/2025b,i

    2,646,800  
 

Banco Santander SA

 

1,800,000

 

4.379%, 4/12/2028

    1,967,702  
 

Bank of America Corporation

 

1,920,000

 

2.328%, 10/1/2021b

    1,922,114  

1,900,000

 

3.499%, 5/17/2022b

    1,937,633  

1,000,000

 

4.100%, 7/24/2023

    1,067,752  

3,649,000

 

3.004%, 12/20/2023b

    3,726,760  

2,830,000

 

4.200%, 8/26/2024

    3,035,561  

2,860,000

 

6.500%, 10/23/2024b,i

    3,181,750  

3,200,000

 

4.000%, 1/22/2025

    3,399,235  

2,750,000

 

3.950%, 4/21/2025

    2,917,811  

1,270,000

 

3.875%, 8/1/2025

    1,373,696  

3,200,000

 

3.093%, 10/1/2025b

    3,296,076  

3,200,000

 

3.705%, 4/24/2028b

    3,408,138  

2,550,000

 

4.271%, 7/23/2029b

    2,841,954  

5,250,000

 

3.194%, 7/23/2030b

    5,417,592  
 

Bank of Nova Scotia

 

3,200,000

 

3.125%, 4/20/2021

    3,252,578  
 

Barclays Bank plc

 

1,910,000

 

10.179%, 6/12/2021g

    2,136,030  
 

Barclays plc

 

3,900,000

 

4.610%, 2/15/2023b

    4,051,593  

2,800,000

 

4.338%, 5/16/2024b

    2,925,093  

1,280,000

 

4.836%, 5/9/2028

    1,337,635  
 

Berkshire Hathaway Finance Corporation

 

1,950,000

 

4.250%, 1/15/2049

    2,311,531  
 

BNP Paribas SA

 

2,650,000

 

4.375%, 3/1/2033b,g,h

    2,795,566  
 

Boston Properties, LP

 

3,200,000

 

2.750%, 10/1/2026

    3,229,200  
 

BPCE SA

 

1,920,000

 

3.000%, 5/22/2022g

    1,948,317  

1,265,000

 

5.700%, 10/22/2023g

    1,392,350  

2,190,000

 

5.150%, 7/21/2024g

    2,398,315  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

86


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Financials (26.7%) - continued

 
 

Camden Property Trust

 

$2,000,000

 

4.100%, 10/15/2028

    $2,227,375  
 

Capital One Bank USA NA

 

2,000,000

 

3.375%, 2/15/2023

    2,061,117  
 

Capital One Financial Corporation

 

3,190,000

 

4.200%, 10/29/2025

    3,399,755  
 

Capital One NA

 

3,200,000

 

2.150%, 9/6/2022

    3,197,288  
 

CIT Bank NA

 

1,950,000

 

2.969%, 9/27/2025b

    1,952,437  
 

CIT Group, Inc.

 

320,000

 

4.125%, 3/9/2021

    325,600  

320,000

 

5.250%, 3/7/2025

    349,184  
 

Citigroup, Inc.

 

1,900,000

 

3.142%, 1/24/2023b

    1,935,211  

2,560,000

 

3.568%, (LIBOR 3M + 1.430%), 9/1/2023b

    2,603,911  

3,600,000

 

3.352%, 4/24/2025b

    3,733,502  

4,370,000

 

4.400%, 6/10/2025

    4,698,566  

3,305,000

 

5.500%, 9/13/2025

    3,744,244  

1,910,000

 

3.700%, 1/12/2026

    2,025,332  

2,490,000

 

4.450%, 9/29/2027

    2,716,690  

2,560,000

 

3.887%, 1/10/2028b

    2,739,546  

2,550,000

 

4.650%, 7/23/2048

    3,120,823  
 

Citizens Bank NA

 

2,560,000

 

2.550%, 5/13/2021

    2,577,486  

1,280,000

 

2.650%, 5/26/2022

    1,295,437  
 

Citizens Financial Group, Inc.

 

1,280,000

 

2.375%, 7/28/2021

    1,283,234  
 

CNA Financial Corporation

 

1,870,000

 

7.250%, 11/15/2023

    2,197,494  

650,000

 

3.950%, 5/15/2024

    697,645  

3,250,000

 

3.450%, 8/15/2027

    3,369,391  
 

Commerzbank AG

 

3,200,000

 

8.125%, 9/19/2023g

    3,731,802  
 

CoreStates Capital III

 

2,440,000

 

2.728%, (LIBOR 3M + 0.570%), 2/15/2027b,g

    2,257,000  
 

Credit Agricole SA

 

1,280,000

 

3.375%, 1/10/2022g

    1,308,616  
 

Credit Suisse Group AG

 

3,200,000

 

3.574%, 1/9/2023g

    3,272,263  

3,950,000

 

7.500%, 7/17/2023b,g,i

    4,221,562  
 

Credit Suisse Group Funding, Ltd.

 

3,900,000

 

3.750%, 3/26/2025

    4,098,306  
 

Danske Bank AS

 

5,600,000

 

5.000%, 1/12/2022g

    5,887,728  

1,950,000

 

3.244%, 12/20/2025b,g

    1,965,899  
 

Deutsche Bank AG

 

2,560,000

 

2.700%, 7/13/2020

    2,554,738  

1,900,000

 

4.875%, 12/1/2032b

    1,720,222  
 

Digital Realty Trust, LP

 

2,700,000

 

2.750%, 2/1/2023

    2,727,428  
 

Discover Bank

 

2,600,000

 

2.450%, 9/12/2024

    2,592,947  

4,490,000

 

4.682%, 8/9/2028b

    4,694,272  
 

Discover Bank of Greenwood Delaware

 

1,635,000

 

4.200%, 8/8/2023

    1,738,055  
 

Duke Realty, LP

 

3,220,000

 

3.875%, 10/15/2022

    3,366,488  
 

Fidelity National Financial, Inc.

 

1,250,000

 

5.500%, 9/1/2022

    1,341,464  
Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Financials (26.7%) - continued

 
 

Fidelity National Information Services, Inc.

 

$1,900,000

 

3.750%, 5/21/2029

    $2,061,592  
 

Five Corners Funding Trust

 

5,110,000

 

4.419%, 11/15/2023g

    5,524,639  
 

GE Capital International Funding Company

 

9,100,000

 

4.418%, 11/15/2035

    9,545,090  
 

Glitnir HoldCo ehf., Convertible

 

362

 

Zero Coupon, 12/31/2030c

    0  
 

Goldman Sachs Group, Inc.

 

3,275,000

 

5.250%, 7/27/2021

    3,450,900  

2,100,000

 

2.876%, 10/31/2022b

    2,124,318  

1,920,000

 

2.908%, 6/5/2023b

    1,945,258  

2,190,000

 

4.000%, 3/3/2024

    2,336,772  

4,450,000

 

3.850%, 7/8/2024

    4,714,832  

2,490,000

 

4.250%, 10/21/2025

    2,669,259  

2,560,000

 

3.500%, 11/16/2026

    2,662,919  

3,760,000

 

5.150%, 5/22/2045

    4,472,139  
 

HCP, Inc.

 

1,595,000

 

4.250%, 11/15/2023

    1,702,836  
 

Host Hotels & Resorts, LP

 

1,240,000

 

4.000%, 6/15/2025

    1,309,993  
 

HSBC Holdings plc

 

1,280,000

 

6.875%, 6/1/2021b,i

    1,342,720  

3,200,000

 

3.124%, (LIBOR 3M + 1.000%), 5/18/2024b

    3,212,688  

2,100,000

 

3.803%, 3/11/2025b

    2,187,701  

2,560,000

 

4.300%, 3/8/2026

    2,772,174  

1,600,000

 

6.000%, 5/22/2027b,i

    1,645,632  

1,920,000

 

4.041%, 3/13/2028b

    2,037,961  
 

Huntington Bancshares, Inc.

 

2,850,000

 

7.000%, 12/15/2020h

    3,007,214  
 

ILFC E-Capital Trust II

 

2,230,000

 

4.020%, (H15T30Y + 1.800%), 12/21/2065b,g

    1,554,533  
 

ING Groep NV

 

4,500,000

 

4.100%, 10/2/2023

    4,777,196  
 

International Lease Finance Corporation

 

2,560,000

 

5.875%, 8/15/2022

    2,804,861  
 

J.P. Morgan Chase & Company

 

1,280,000

 

2.295%, 8/15/2021

    1,283,396  

2,500,000

 

2.972%, 1/15/2023

    2,544,410  

3,190,000

 

3.513%, (LIBOR 3M + 1.230%), 10/24/2023b

    3,240,578  

1,270,000

 

6.750%, 2/1/2024b,i

    1,409,700  

3,200,000

 

5.000%, 8/1/2024b,i

    3,288,000  

4,000,000

 

3.875%, 9/10/2024

    4,261,606  

3,800,000

 

3.900%, 7/15/2025

    4,100,284  

3,200,000

 

2.950%, 10/1/2026

    3,284,679  

3,900,000

 

4.452%, 12/5/2029b

    4,411,509  

2,600,000

 

3.882%, 7/24/2038b

    2,855,131  

3,150,000

 

5.500%, 10/15/2040

    4,195,447  
 

Kilroy Realty, LP

 

2,550,000

 

4.250%, 8/15/2029

    2,773,987  
 

Kimco Realty Corporation

 

5,100,000

 

3.300%, 2/1/2025

    5,260,400  
 

Liberty Mutual Group, Inc.

 

1,935,000

 

4.950%, 5/1/2022g

    2,051,220  
 

Liberty Property, LP

 

1,875,000

 

4.750%, 10/1/2020

    1,922,626  
 

Lincoln National Corporation

 

4,150,000

 

4.000%, 9/1/2023

    4,396,426  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

87


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Financials (26.7%) - continued

 
 

Lloyds Bank plc

 

$1,910,000

 

4.650%, 3/24/2026

    $2,017,524  
 

Lloyds Banking Group plc

 

4,000,000

 

2.858%, 3/17/2023b

    4,012,906  
 

Marsh & McLennan Companies, Inc.

 

1,700,000

 

4.375%, 3/15/2029

    1,923,532  
 

MGM Growth Properties Operating Partnership, LP

 

640,000

 

4.500%, 9/1/2026

    678,400  
 

Mitsubishi UFJ Financial Group, Inc.

 

1,950,000

 

3.455%, 3/2/2023

    2,018,279  
 

Mizuho Financial Group, Inc.

 

2,560,000

 

3.663%, 2/28/2027h

    2,743,349  
 

Morgan Stanley

 

2,550,000

 

2.500%, 4/21/2021

    2,566,348  

3,205,000

 

4.875%, 11/1/2022

    3,436,876  

3,190,000

 

3.683%, (LIBOR 3M + 1.400%), 10/24/2023b

    3,247,484  

2,000,000

 

2.720%, 7/22/2025b

    2,023,076  

1,870,000

 

4.000%, 7/23/2025

    2,016,786  

1,280,000

 

3.125%, 7/27/2026

    1,318,249  

2,510,000

 

4.350%, 9/8/2026

    2,721,164  

1,570,000

 

4.300%, 1/27/2045

    1,818,060  
 

MPT Operating Partnership, LP

 

640,000

 

5.000%, 10/15/2027

    670,400  
 

Nationwide Building Society

 

2,490,000

 

3.900%, 7/21/2025g

    2,654,582  

1,920,000

 

4.000%, 9/14/2026g

    1,967,190  
 

Park Aerospace Holdings, Ltd.

 

1,300,000

 

4.500%, 3/15/2023g

    1,345,240  
 

Peachtree Corners Funding Trust

 

2,800,000

 

3.976%, 2/15/2025g

    2,949,795  
 

Preferred Term Securities XXIII, Ltd.

 

656,396

 

2.319%, (LIBOR 3M + 0.200%), 12/22/2036b,g

    599,510  
 

Prudential Financial, Inc.

 

3,800,000

 

3.700%, 3/13/2051

    3,927,459  

1,957,000

 

3.935%, 12/7/2049

    2,114,328  
 

Realty Income Corporation

 

3,830,000

 

3.875%, 7/15/2024

    4,097,524  
 

Regency Centers, LP

 

2,560,000

 

3.600%, 2/1/2027

    2,688,564  
 

Reinsurance Group of America, Inc.

 

3,050,000

 

4.700%, 9/15/2023

    3,295,936  

2,600,000

 

3.900%, 5/15/2029

    2,767,078  
 

Royal Bank of Scotland Group plc

 

1,920,000

 

8.625%, 8/15/2021b,i

    2,056,032  

2,560,000

 

3.498%, 5/15/2023b

    2,594,160  

2,560,000

 

3.875%, 9/12/2023

    2,641,922  

2,750,000

 

4.269%, 3/22/2025b

    2,876,088  
 

Santander Holdings USA, Inc.

 

1,435,000

 

4.450%, 12/3/2021

    1,498,749  
 

Santander UK Group Holdings plc

 

1,700,000

 

3.125%, 1/8/2021

    1,711,544  

2,500,000

 

4.750%, 9/15/2025g

    2,605,821  
 

SITE Centers Corporation

 

996,000

 

4.625%, 7/15/2022

    1,041,104  
 

Standard Chartered plc

 

2,700,000

 

2.744%, 9/10/2022b,g

    2,702,781  

3,250,000

 

3.428%, (LIBOR 3M + 1.150%), 1/20/2023b,g

    3,256,870  
 

State Street Capital Trust IV

 

1,920,000

 

3.119%, (LIBOR 3M + 1.000%), 6/15/2047b

    1,473,427  
Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Financials (26.7%) - continued

 
 

SunTrust Banks, Inc.

 

$1,910,000

 

2.900%, 3/3/2021

    $1,929,861  
 

Synchrony Financial

 

3,250,000

 

4.250%, 8/15/2024

    3,428,985  

3,850,000

 

3.950%, 12/1/2027

    3,947,472  
 

UBS Group Funding Jersey, Ltd.

 

1,600,000

 

2.650%, 2/1/2022g

    1,614,281  

2,490,000

 

4.125%, 9/24/2025g

    2,690,466  
 

UBS Group Funding Switzerland AG

 

2,560,000

 

4.253%, 3/23/2028g

    2,792,914  
 

UnionBanCal Corporation

 

2,580,000

 

3.500%, 6/18/2022

    2,658,984  
 

Ventas Realty, LP

 

1,280,000

 

3.500%, 2/1/2025

    1,340,471  

1,920,000

 

3.850%, 4/1/2027

    2,042,028  

3,200,000

 

4.000%, 3/1/2028

    3,435,042  
 

Wells Fargo & Company

 

4,000,000

 

4.125%, 8/15/2023

    4,244,216  

2,560,000

 

3.000%, 4/22/2026

    2,625,433  
 

Welltower, Inc.

 

2,200,000

 

4.000%, 6/1/2025

    2,351,449  
 

 

 
 

Total

    439,140,807  
 

 

 

Foreign Government (0.8%)

 
 

Bahrain Government International Bond

 

3,250,000

 

5.875%, 1/26/2021

    3,327,448  
 

Dominican Republic Government International Bond

 

950,000

 

6.000%, 7/19/2028g

    1,036,697  
 

Qatar Government International Bond

 

1,900,000

 

4.500%, 4/23/2028g

    2,164,864  

2,500,000

 

5.103%, 4/23/2048g

    3,193,750  

2,650,000

 

4.817%, 3/14/2049g

    3,278,198  
 

 

 
 

Total

    13,000,957  
 

 

 

Mortgage-Backed Securities (4.3%)

 
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

5,000,000

 

2.500%, 10/1/2034f

    5,043,066  

8,150,000

 

3.500%, 10/1/2034f

    8,429,520  

14,745,000

 

3.000%, 10/1/2034f

    15,073,883  
 

Federal National Mortgage Association Conventional 30-Yr. Pass Through

 

15,430,000

 

3.500%, 10/1/2049f

    15,830,818  

25,750,000

 

3.000%, 10/1/2049f

    26,142,285  
 

 

 
 

Total

    70,519,572  
 

 

 

Technology (4.1%)

 
 

Apple, Inc.

 

4,450,000

 

3.250%, 2/23/2026

    4,716,395  

1,920,000

 

3.750%, 9/12/2047

    2,138,407  
 

Applied Materials, Inc.

 

1,280,000

 

3.300%, 4/1/2027

    1,362,277  
 

Broadcom Corporation

 

2,550,000

 

3.875%, 1/15/2027

    2,563,182  
 

Dell International, LLC/EMC Corporation

 

1,800,000

 

4.000%, 7/15/2024g

    1,882,749  
 

Diamond 1 Finance Corporation

 

640,000

 

5.875%, 6/15/2021g

    650,240  

1,920,000

 

5.450%, 6/15/2023g

    2,090,732  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

88


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Technology (4.1%) - continued

 

$8,025,000

 

6.020%, 6/15/2026g

    $9,049,690  
 

Diamond Sports Group, LLC

 

640,000

 

6.625%, 8/15/2027g,h

    663,072  
 

DXC Technology Company

 

2,560,000

 

4.750%, 4/15/2027

    2,678,076  
 

Fiserv, Inc.

 

1,300,000

 

2.750%, 7/1/2024

    1,322,233  

3,225,000

 

3.200%, 7/1/2026

    3,341,081  
 

Hewlett Packard Enterprise Company

 

2,560,000

 

4.400%, 10/15/2022

    2,711,890  

2,250,000

 

2.250%, 4/1/2023

    2,243,427  
 

Intel Corporation

 

2,870,000

 

4.100%, 5/19/2046

    3,341,064  
 

Lam Research Corporation

 

3,250,000

 

4.000%, 3/15/2029

    3,584,882  
 

Marvell Technology Group, Ltd.

 

1,600,000

 

4.200%, 6/22/2023

    1,677,146  

1,900,000

 

4.875%, 6/22/2028

    2,110,612  
 

NXP BV/NXP Funding, LLC

 

3,250,000

 

4.875%, 3/1/2024g

    3,524,445  

3,250,000

 

5.350%, 3/1/2026g

    3,643,679  
 

Oracle Corporation

 

3,200,000

 

4.300%, 7/8/2034

    3,723,600  
 

Panasonic Corporation

 

2,900,000

 

3.113%, 7/19/2029g

    3,006,419  
 

Seagate HDD Cayman

 

994,000

 

4.250%, 3/1/2022

    1,023,990  
 

Texas Instruments, Inc.

 

3,200,000

 

4.150%, 5/15/2048

    3,924,429  
 

 

 
 

Total

    66,973,717  
 

 

 

Transportation (1.4%)

 
 

Aircastle, Ltd.

 

3,215,000

 

4.400%, 9/25/2023

    3,379,345  
 

Boeing Company

 

5,200,000

 

3.600%, 5/1/2034

    5,641,520  
 

Burlington Northern Santa Fe, LLC

 

2,500,000

 

4.700%, 9/1/2045

    3,080,353  

3,200,000

 

4.050%, 6/15/2048

    3,673,509  
 

CSX Corporation

 

1,900,000

 

2.400%, 2/15/2030

    1,856,881  
 

Delta Air Lines, Inc.

 

1,371,374

 

4.250%, 7/30/2023

    1,466,613  
 

Penske Truck Leasing Company, LP

 

2,600,000

 

3.375%, 2/1/2022g

    2,653,664  
 

United Airlines Pass Through Trust

 

1,230,025

 

3.750%, 9/3/2026

    1,295,216  
 

XPO Logistics, Inc.

 

640,000

 

6.125%, 9/1/2023g

    660,800  
 

 

 
 

Total

    23,707,901  
 

 

 

U.S. Government & Agencies (6.5%)

 
 

U.S. Treasury Bonds

 

5,150,000

 

2.250%, 11/15/2027

    5,387,584  

9,500,000

 

2.750%, 2/15/2028

    10,315,664  

7,750,000

 

2.875%, 5/15/2028

    8,507,441  

8,000,000

 

2.375%, 5/15/2029

    8,497,812  

3,000,000

 

3.125%, 5/15/2048

    3,649,336  

9,400,000

 

3.000%, 2/15/2049

    11,216,844  

4,500,000

 

2.875%, 5/15/2049

    5,252,695  

25,600,000

 

2.250%, 8/15/2049

    26,355,000  
 

U.S. Treasury Notes

 

6,500,000

 

2.375%, 2/29/2024

    6,725,723  
Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

U.S. Government & Agencies (6.5%) - continued

 

$20,000,000

 

2.250%, 4/30/2024

    $20,605,469  
 

 

 
 

Total

    106,513,568  
 

 

 

Utilities (8.3%)

 
 

AEP Transmission Company, LLC

 

4,480,000

 

3.100%, 12/1/2026

    4,685,105  
 

Ameren Illinois Company

 

1,950,000

 

4.500%, 3/15/2049

    2,398,982  
 

American Electric Power Company, Inc.

 

2,565,000

 

2.950%, 12/15/2022

    2,616,913  
 

Baltimore Gas and Electric Company

 

2,560,000

 

2.400%, 8/15/2026

    2,563,228  
 

Berkshire Hathaway Energy Company

 

2,575,000

 

4.450%, 1/15/2049

    3,075,776  
 

CenterPoint Energy, Inc.

 

4,160,000

 

2.500%, 9/1/2022

    4,188,849  

3,250,000

 

2.950%, 3/1/2030

    3,237,952  
 

CMS Energy Corporation

 

2,560,000

 

3.450%, 8/15/2027

    2,694,143  
 

Consolidated Edison Company of New York, Inc.

 

1,280,000

 

2.900%, 12/1/2026

    1,312,455  

4,750,000

 

4.125%, 5/15/2049

    5,436,420  
 

Consumers Energy Company

 

1,950,000

 

4.350%, 4/15/2049

    2,394,253  
 

Dominion Energy, Inc.

 

1,700,000

 

2.715%, 8/15/2021

    1,711,101  

2,900,000

 

3.071%, 8/15/2024

    2,967,713  
 

Duke Energy Corporation

 

3,840,000

 

2.650%, 9/1/2026

    3,858,260  

3,840,000

 

3.150%, 8/15/2027

    3,990,941  

3,200,000

 

3.750%, 9/1/2046

    3,300,186  
 

Edison International

 

9,000,000

 

5.750%, 6/15/2027

    10,115,194  
 

Exelon Corporation

 

1,600,000

 

3.497%, 6/1/2022

    1,641,854  

3,120,000

 

3.950%, 6/15/2025

    3,345,833  

1,660,000

 

3.400%, 4/15/2026

    1,735,407  
 

Exelon Generation Company, LLC

 

2,560,000

 

4.250%, 6/15/2022

    2,680,672  
 

FirstEnergy Corporation

 

4,480,000

 

3.900%, 7/15/2027

    4,774,024  

1,300,000

 

4.850%, 7/15/2047

    1,545,031  
 

FirstEnergy Transmission, LLC

 

3,150,000

 

5.450%, 7/15/2044g

    4,003,012  
 

Georgia Power Company

 

3,200,000

 

2.650%, 9/15/2029

    3,145,988  
 

ITC Holdings Corporation

 

5,080,000

 

4.050%, 7/1/2023

    5,347,386  
 

National Rural Utilities Cooperative Finance Corporation

 

2,600,000

 

4.400%, 11/1/2048

    3,164,580  
 

Nevada Power Company

 

2,800,000

 

6.750%, 7/1/2037

    4,045,602  
 

NextEra Energy Operating Partners, LP

 

640,000

 

3.875%, 10/15/2026g

    640,000  
 

NiSource Finance Corporation

 

1,920,000

 

4.375%, 5/15/2047

    2,157,329  
 

Oncor Electric Delivery Company, LLC

 

2,490,000

 

3.750%, 4/1/2045

    2,745,920  
 

Pacific Gas and Electric Company

 

1,270,000

 

2.950%, 3/1/2026d,k

    1,250,950  

1,900,000

 

3.300%, 12/1/2027d,k

    1,881,000  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

89


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (92.7%)   Value

Utilities (8.3%) - continued

 

$1,900,000

 

3.950%, 12/1/2047d,k

    $1,838,250  
 

PPL Capital Funding, Inc.

 

3,205,000

 

3.500%, 12/1/2022

    3,305,500  

3,190,000

 

3.950%, 3/15/2024

    3,367,531  
 

PPL Electric Utilities Corporation

 

3,800,000

 

3.000%, 10/1/2049

    3,672,775  
 

San Diego Gas and Electric Company

 

3,200,000

 

4.150%, 5/15/2048

    3,646,272  
 

Sempra Energy

 

3,200,000

 

3.250%, 6/15/2027

    3,286,938  
 

South Carolina Electric & Gas Company

 

2,835,000

 

5.100%, 6/1/2065

    3,789,460  
 

Southern Company

 

7,630,000

 

3.250%, 7/1/2026

    7,883,027  
 

TerraForm Power Operating, LLC

 

640,000

 

5.000%, 1/31/2028g

    665,600  
 

 

 
 

Total

    136,107,412  
 

 

 
   
 

 

 
 

Total Long-Term Fixed Income

(cost $1,433,588,653)

    1,523,841,149  
 

 

 
Shares  

Registered Investment Companies

(0.8%)

  Value

Unaffiliated (0.8%)

 

65,000

 

iShares iBoxx $ Investment Grade Corporate Bond ETF

    8,286,200  

60,000

 

Vanguard Short-Term Corporate Bond ETF

    4,863,000  
 

 

 
 

Total

    13,149,200  
 

 

 
   
 

 

 
 

Total Registered Investment Companies

(cost $12,084,546)

    13,149,200  
 

 

 
Shares  

Collateral Held for Securities Loaned

(0.4%)

  Value

7,159,707

 

Thrivent Cash Management Trust

    7,159,707  
 

 

 
 

Total Collateral Held for Securities

Loaned

(cost $7,159,707)

    7,159,707  
 

 

 
Shares   Preferred Stock (0.2%)   Value

Financials (0.2%)

 

22,500

 

Cobank ACB, 6.250%b,i

    2,362,500  
 

 

 
 

Total

    2,362,500  
 

 

 
   
 

 

 
 

Total Preferred Stock

(cost $2,250,000)

    2,362,500  
 

 

 
Shares   Common Stock (<0.1%)   Value

Financials (<0.1%)

 

2,247

 

Glitnir HoldCo ehf.c,l

    0  
 

 

 
 

Total

    0  
 

 

 
   
 

 

 
 

Total Common Stock

(cost $–)

    0  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (8.7%)   Value
 

Federal Home Loan Bank Discount Notes

 

400,000

 

2.010%, 10/7/2019m,n

    399,875  

Shares or

Principal

Amount

  Short-Term Investments (8.7%)   Value
 

Thrivent Core Short-Term Reserve Fund

 

14,314,462

 

2.230%

    $143,144,618  
 

 

 
 

Total Short-Term Investments

(cost $143,544,484)

    143,544,493  
 

 

 
 

Total Investments

(cost $1,619,436,529) 104.1%

    $1,710,470,345  
 

 

 
 

Other Assets and Liabilities, Net

(4.1%)

    (66,594,689
 

 

 
 

Total Net Assets 100.0%

    $1,643,875,656  
 

 

 

 

a

The stated interest rate represents the weighted average of all contracts within the bank loan facility.

b

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

c

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

d

In bankruptcy. Interest is not being accrued.

e

All or a portion of the loan is unfunded.

f

Denotes investments purchased on a when-issued or delayed delivery basis.

g

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $262,973,715 or 16.0% of total net assets.

h

All or a portion of the security is on loan.

i

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

j

All or a portion of the security is insured or guaranteed.

k

Defaulted security. Interest is not being accrued.

l

Non-income producing security.

m

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

n

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Income Portfolio as of September 30, 2019:

Securities Lending Transactions

Long-Term Fixed Income

   $ 6,922,002  

Total lending

   $ 6,922,002  
Gross amount payable upon return of collateral for securities loaned    $ 7,159,707  

Net amounts due to counterparty

     $237,705  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

90


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Definitions:
CLO    -    Collateralized Loan Obligation
ETF    -    Exchange Traded Fund
            REIT    -    Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Ser.    -    Series

 

Reference Rate Index:
H15T30Y      U. S. Treasury Yield Curve Rate Treasury
    -   

Note Constant Maturity 30 Year

LIBOR 1W   -    ICE Libor USD Rate 1 Week
LIBOR 1M   -    ICE Libor USD Rate 1 Month
LIBOR 2M   -    ICE Libor USD Rate 2 Month
LIBOR 3M   -    ICE Libor USD Rate 3 Month
PRIME   -    Federal Reserve Prime Loan Rate
USISDA 10Y   -    ICE Swap USD Rate 10 Year
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

91


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Income Portfolio’s assets carried at fair value.

 

Investments in Securities    Total              Level 1      Level 2      Level 3  

Bank Loans

              

Basic Materials

     586,367                  348,668        237,699  

Capital Goods

     2,023,858                  2,023,858         

Communications Services

     5,118,964                  4,446,495        672,469  

Consumer Cyclical

     2,627,501                  2,032,542        594,959  

Consumer Non-Cyclical

     3,974,851                  3,974,851         

Energy

     1,415,997                  1,415,997         

Financials

     3,687,931                  3,687,931         

Technology

     977,827                  977,827         

Long-Term Fixed Income

              

Asset-Backed Securities

     17,751,331                  17,751,331         

Basic Materials

     47,165,201                  47,165,201         

Capital Goods

     53,031,264                  53,031,264         

Collateralized Mortgage Obligations

     2,136,461                  2,136,461         

Communications Services

     127,959,942                  127,959,942         

Consumer Cyclical

     81,162,706                  81,162,706         

Consumer Non-Cyclical

     200,649,496                  200,649,496         

Energy

     138,020,814                  138,020,814         

Financials^

     439,140,807                  439,140,807        0  

Foreign Government

     13,000,957                  13,000,957         

Mortgage-Backed Securities

     70,519,572                  70,519,572         

Technology

     66,973,717                  66,973,717         

Transportation

     23,707,901                  23,707,901         

U.S. Government & Agencies

     106,513,568                  106,513,568         

Utilities

     136,107,412                  136,107,412         

Registered Investment Companies

              

Unaffiliated

     13,149,200           13,149,200                

Preferred Stock

              

Financials

     2,362,500                  2,362,500         

Common Stock

              

Financials^

     0                         0  

Short-Term Investments

     399,875                  399,875         

Subtotal Investments in Securities

     $1,560,166,020                 $13,149,200        $1,545,511,693        $1,505,127  
Other Investments *    Total                              

Affiliated Short-Term Investments

     143,144,618  

Collateral Held for Securities Loaned

     7,159,707  

Subtotal Other Investments

     $150,304,325  
          

Total Investments at Value

     $1,710,470,345  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments    Total      Level 1      Level 2              Level 3          

Asset Derivatives

                 

Futures Contracts

     223,962                    223,962                      

Total Asset Derivatives

   $ 223,962                  $ 223,962               $               $  

Liability Derivatives

                 

Futures Contracts

     277,486                    277,486                                  

Total Liability Derivatives

   $ 277,486                  $ 277,486               $               $  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

^   Level 3 security in this section is fair valued at <$1.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

92


INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents Income Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $399,875 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
    

            Expiration

            Date

     Notional Principal
Amount
     Value and
Unrealized
 

CBOT U.S. Long Bond

     206                    December 2019        $33,713,861        ($277,486

Total Futures Long Contracts

                       $33,713,861        ($277,486

CBOT 5-Yr. U.S. Treasury Note

     (437)                    December 2019        ($52,291,831      $223,962  

Total Futures Short Contracts

                       ($52,291,831      $223,962  

Total Futures Contracts

                       ($18,577,970      ($53,524

 

Reference Description:

CBOT

  -   

Chicago Board of Trade

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Income Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $102,835        $318,664        $278,354        $143,145        14,314        8.7%  

Total Affiliated Short-Term Investments

     102,835                          143,145                 8.7  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     13,566        65,948        72,354        7,160        7,160        0.4  

Total Collateral Held for Securities Loaned

     13,566                          7,160                 0.4  

Total Value

     $116,401                          $150,305                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in Unrealized
Appreciation/(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $2,711  

Total Income from Affiliated Investments

                                $2,711  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          28  

Total Affiliated Income from Securities Loaned, Net

                                $28  

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

93


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (84.0%)   Value

 

 

Australia (3.6%)

 

131,115  

AGL Energy, Ltd.

    $1,696,231  
106,326  

Altium, Ltd.

    2,399,529  
40,269  

Ansell, Ltd.

    745,436  
193,457  

Aristocrat Leisure, Ltd.

    3,999,747  
362,090  

Australia and New Zealand Banking Group, Ltd.

    6,955,636  
789,764  

Beach Energy, Ltd.

    1,348,062  
332,299  

BHP Group, Ltd.

    8,211,300  
61,200  

Breville Group, Ltd.

    665,462  
42,848  

BWP Trust

    114,283  
335,942  

Charter Hall Group

    2,642,160  
8,491  

Collins Foods, Ltd.

    57,407  
75,161  

Computershare, Ltd.

    821,647  
66,530  

CSL, Ltd.

    10,519,193  
373,127  

Evolution Mining, Ltd.

    1,138,406  
71,798  

FlexiGroup, Ltd.

    123,802  
356,647  

G8 Education, Ltd.

    623,760  
352,257  

Genworth Mortgage Insurance Australia, Ltd.

    809,004  
202,862  

Inghams Group, Ltd.

    431,594  
236,225  

IPH, Ltd.

    1,389,593  
39,734  

JB Hi-Fi, Ltd.

    912,309  
43,186  

Jumbo Interactive, Ltd.

    705,429  
326,347  

Metcash, Ltd.

    658,942  
162,151  

NIB Holdings, Ltd.

    799,543  
21,504  

Nick Scali, Ltd.

    108,929  
216,854  

Northern Star Resources, Ltd.

    1,611,661  
768,504  

Regis Resources, Ltd.

    2,535,482  
89,572  

Rio Tinto, Ltd.

    5,610,341  
39,951  

Sandfire Resources NL

    177,091  
658,051  

Saracen Mineral Holdings, Ltd.a

    1,529,191  
46,870  

Smartgroup Corporation, Ltd.

    386,563  
236,742  

Super Retail Group, Ltd.

    1,585,302  
132,688  

Tassal Group, Ltd.

    383,618  
226,814  

Technology One, Ltd.

    1,100,516  
831,604  

Vita Group, Ltd.

    682,726  
43,083  

Wisetech Global, Ltd.

    1,012,459  
 

 

 
  Total     64,492,354  
 

 

 

Austria (0.1%)

 
6,443  

AMS AGa

    287,497  
9,971  

EVN AG

    175,408  
45,139  

UNIQA Insurance Group AG

    407,669  
1,506  

Vienna Insurance Group AG

    39,231  
54,744  

Wienerberger AG

    1,332,647  
 

 

 
  Total     2,242,452  
 

 

 

Belgium (0.2%)

 
726  

Akka Technologies

    49,998  
9,434  

Barco NV

    1,863,151  
4,217  

Gimv NV

    254,554  
9,730  

KBC Ancora

    432,217  
14,603  

SA D’Ieteren NV

    791,557  
 

 

 
  Total     3,391,477  
 

 

 

Bermuda (0.1%)

 
184,000  

Cafe de Coral Holdings, Ltd.

    492,726  
7,430  

Golden Ocean Group, Ltd.

    43,150  
271,000  

Shanghai Industrial Urban Development Group, Ltd.

    34,208  
874,000  

Yuexiu Transport Infrastructure, Ltd.

    755,235  
 

 

 
  Total     1,325,319  
 

 

 

Brazil (0.7%)

 
51,500  

AES Tiete Energia SA

    150,474  
116,800  

Banco ABC Brasil SA

    504,312  
Shares   Common Stock (84.0%)   Value

 

 

Brazil (0.7%) - continued

 
27,469  

Banco Bradesco SA ADR

    $223,598  
10,600  

Banco BTG Pactual SA

    149,346  
267,200  

BR Malls Participacoes SA

    931,835  
13,935  

Centrais Eletricas Brasileiras SA ADR

    133,497  
73,334  

Companhia Energetica de Minas Gerais ADR

    248,602  
87,300  

Companhia Energetica de Sao Paulo

    598,606  
3,771  

Companhia Paranaense de Energia ADR

    45,290  
21,000  

Cosan SA

    269,339  
55,507  

Embraer SA ADR

    957,496  
29,200  

GOL Linhas Aereas Inteligentes SAa

    226,645  
122,000  

Iochpe-Maxion SA

    560,532  
248,216  

Itau Unibanco Holding SA ADR

    2,087,496  
71,000  

JBS SA

    559,121  
825,900  

Metalurgica Gerdau SA

    1,236,380  
273,078  

Petroleo Brasileiro SA

    1,808,054  
73,783  

Petroleo Brasileiro SA ADR

    1,067,640  
24,400  

Qualicorp Consultoria e Corretora de Seguros SA

    182,107  
59,300  

Randon SA Implementos e Participacoes

    137,298  
15,500  

Ser Educacional SAb

    84,010  
32,800  

Tupy SA

    141,701  
32,210  

Vale SA ADRa

    370,415  
 

 

 
  Total     12,673,794  
 

 

 

Canada (4.6%)

 
117,881  

Alaris Royalty Corporation

    1,751,955  
50,076  

Allied Properties REIT

    2,024,811  
64,785  

Bank of Montreal

    4,771,650  
185,090  

CGI, Inc.a

    14,635,641  
985,944  

CI Financial Corporation

    14,385,249  
72,068  

Dream Global REIT

    904,080  
175,646  

First Capital Realty, Inc.

    2,925,997  
114,010  

Granite REIT

    5,520,430  
254,389  

Laurentian Bank of Canadac

    8,646,365  
181,183  

Manulife Financial Corporation

    3,323,204  
6,395  

MTY Food Group, Inc.

    306,029  
238,325  

Northland Power, Inc.

    4,572,760  
17,849  

Northview Apartment REIT

    388,277  
68,616  

RioCan REIT

    1,366,260  
18,688  

TMX Group, Ltd.

    1,612,851  
253,328  

Toronto-Dominion Bank

    14,771,173  
 

 

 
  Total     81,906,732  
 

 

 

Cayman Islands (1.5%)

 
182,500  

3SBio, Inc.a,b

    301,802  
57,763  

Alibaba Group Holding, Ltd. ADRa

    9,659,706  
1,560  

Autohome, Inc. ADRa

    129,683  
261,000  

China Medical System Holdings, Ltd.

    310,005  
99,000  

China Mengniu Dairy Company, Ltd.

    370,584  
525,334  

China Resources Land, Ltd.

    2,200,428  
540,000  

China SCE Group Holdings, Ltd.

    248,857  
135,000  

China Shineway Pharmaceutical Group, Ltd.

    117,808  
290,000  

Consun Pharmaceutical Group, Ltd.

    160,155  
7,947  

Ctrip.com International, Ltd. ADRa

    232,768  
121,000  

Fu Shou Yuan International Group, Ltd.

    106,918  
234,000  

Goodbaby International Holdings, Ltd.a

    35,239  
208,500  

Kingboard Holdings, Ltd.

    552,383  
139,000  

Li Ning Company, Ltd.

    398,794  
95,500  

Longfor Group Holdings, Ltd.b

    356,671  
34,500  

NetDragon Websoft, Inc.

    80,069  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

94


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (84.0%)   Value

 

 

Cayman Islands (1.5%) - continued

 
5,165  

NetEase, Inc. ADR

    $1,374,819  
3,092,000  

Shui On Land, Ltd.

    615,508  
232,724  

Tencent Holdings, Ltd.

    9,734,361  
40,000  

Tingyi (Cayman Islands) Holding Corporation

    56,313  
820,000  

Value Partners Group, Ltd.

    413,601  
48,000  

Wisdom Marine Lines Company, Ltd.

    46,415  
 

 

 
  Total     27,502,887  
 

 

 

Chile (0.1%)

 
58,693  

Banco Santander Chile SA ADR

    1,643,404  
82,162  

CAP SA

    715,152  
969,784  

Colbun SA

    174,862  
 

 

 
  Total     2,533,418  
 

 

 

China (1.3%)

 
111,500  

Anhui Conch Cement Company, Ltd.

    661,679  
9,739  

Baidu.com, Inc. ADRa

    1,000,780  
2,881,000  

Bank of China, Ltd.

    1,129,846  
1,450,000  

China Cinda Asset Management Company, Ltd.

    284,865  
758,000  

China CITIC Bank Corporation, Ltd.

    404,138  
1,035,000  

China Coal Energy Company, Ltd.

    421,310  
2,283,000  

China Construction Bank Corporation

    1,739,553  
440,000  

China Everbright Bank Company, Ltd.

    187,436  
64,400  

China International Capital Corporation, Ltd.b

    124,993  
354,000  

China National Building Material Company, Ltd.

    317,514  
83,600  

China Pacific Insurance (Group) Company, Ltd.

    306,752  
3,788  

China Petroleum & Chemical Corporation ADR

    222,356  
97,872  

China Resources Sanjiu Medical and Pharmaceutical Company, Ltd.

    399,333  
3,460,000  

China Telecom Corporation, Ltd.

    1,575,543  
647,000  

CNOOC, Ltd.

    990,641  
159,800  

Guangzhou Haige Communications Group, Inc. Company

    219,313  
2,277,000  

Industrial and Commercial Bank of China, Ltd.

    1,525,443  
375,449  

Inner Mongolia Eerduosi Resources Company, Ltd.

    416,664  
21,755  

JD.com, Inc. ADRa

    613,709  
158,000  

Jiangxi Copper Company, Ltd.

    182,984  
6,792  

Kweichow Moutai Company, Ltd.

    1,094,999  
108,633  

Midea Group Company, Ltd.

    778,830  
3,778  

New Oriental Education & Technology Group, Inc. ADRa

    418,451  
430,278  

Ping An Insurance Company of China, Ltd.

    4,945,493  
288,000  

Shandong Weigao Group Medical Polymer Company, Ltd.

    296,583  
124,600  

Shanghai Pharmaceuticals Holding Company, Ltd.

    225,670  
69,200  

Sinopharm Group Company, Ltd.

    216,317  
141,000  

Tong Ren Tang Technologies Company, Ltd.

    128,151  
54,000  

Tsingtao Brewery Company, Ltd.

    325,803  
1,053,100  

Xiamen C&D, Inc.

    1,285,182  
 

 

 
  Total     22,440,331  
 

 

 

Colombia (<0.1%)

 
5,036  

Bancolombia SA ADR

    249,030  
 

 

 
  Total     249,030  
 

 

 
Shares   Common Stock (84.0%)   Value

 

 

Denmark (2.5%)

 
27,448  

Coloplast AS

    $3,302,430  
80,173  

DSV AS

    7,620,449  
2,418  

FLSmidth & Company AS

    105,186  
111,953  

GN Store Nord AS

    4,538,182  
355,973  

Novo Nordisk AS

    18,395,326  
7,014  

Per Aarsleff Holding AS

    226,948  
11,069  

Royal Unibrew AS

    911,975  
23,255  

Scandinavian Tobacco Group ASb

    272,102  
26,247  

SimCorp AS

    2,305,237  
147,929  

Topdanmark AS

    7,140,862  
 

 

 
  Total     44,818,697  
 

 

 

Faroe Islands (<0.1%)

 
1,343  

Bakkafrost PF

    79,371  
 

 

 
  Total     79,371  
 

 

 

Finland (0.7%)

 
8,208  

Adapteo Oyja

    93,870  
17,931  

Cramo Oyj

    191,922  
36,260  

Finnair Oyj

    253,454  
27,164  

Raisio Oyj

    96,520  
32,791  

Rovio Entertainment Oyjb

    146,288  
16,380  

Tokmanni Group Corporation

    182,105  
286,903  

UPM-Kymmene Oyj

    8,471,884  
27,174  

Uponor Oyj

    288,897  
144,899  

Valmet Oyj

    2,810,943  
 

 

 
  Total     12,535,883  
 

 

 

France (4.3%)

 
178,843  

Air France-KLMa

    1,871,387  
183,233  

AXA SA

    4,678,649  
12,759  

Beneteau SA

    134,123  
23,398  

Capgemini SA

    2,755,151  
228,584  

CNP Assurances

    4,417,314  
56,130  

Coface SA

    637,486  
75,847  

Derichebourg

    264,793  
13,111  

Gaztransport Et Technigaz SA

    1,297,185  
4,518  

Hermes International

    3,120,499  
5,885  

Ipsos SA

    167,642  
8,370  

Jacquet Metal Servicec

    141,410  
12,149  

Kaufman & Broad SA

    483,909  
13,307  

Kering SA

    6,781,069  
227,217  

Klepierre SA

    7,716,423  
7,286  

Lagardere SCA

    161,144  
187,638  

Legrand SA

    13,391,758  
26,538  

LVMH Moet Hennessy Louis Vuitton SE

    10,529,250  
5,653  

Maisons du Monde SAb

    89,287  
31,183  

Metropole Television SA

    511,360  
21,738  

Quadient SAS

    449,941  
163,528  

Schneider Electric SE

    14,299,282  
22,319  

Vinci SA

    2,404,191  
 

 

 
  Total     76,303,253  
 

 

 

Germany (3.8%)

 
52,529  

Aareal Bank AG

    1,596,591  
20,920  

Adidas AG

    6,513,344  
15,492  

ADVA Optical Networking SEa

    107,730  
73,419  

Allianz SE

    17,089,945  
56,434  

Alstria Office REIT AG

    968,175  
7,375  

Amadeus Fire AG

    815,748  
56,050  

Borussia Dortmund GmbH & Company KGaA

    563,878  
15,535  

CANCOM SE

    836,958  
877  

Cewe Stiftung & Company KGaA

    73,668  
23,039  

CompuGroup Medical SE

    1,386,152  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

95


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (84.0%)   Value

 

 

Germany (3.8%) - continued

 
72,129  

Deutsche Boerse AG

    $11,249,211  
9,600  

Deutsche EuroShop AG

    270,786  
583,620  

Deutsche Pfandbriefbank AGb

    7,115,424  
93,308  

Deutz AG

    540,964  
67,905  

Dialog Semiconductor plca

    3,216,051  
121,749  

Evotec SEa

    2,707,986  
31,314  

Gerresheimer AG

    2,245,214  
4,158  

Isra Vision AG

    174,484  
26,079  

Jungheinrich AG

    562,390  
21,003  

Nemetschek SE

    1,070,190  
800  

New Work SE

    217,991  
144,232  

ProSiebenSat.1 Media AG

    1,987,087  
10,757  

Rheinmetall AG

    1,360,688  
18,060  

Siltronic AG

    1,372,014  
26,128  

Software AG

    717,338  
1,229  

STO SE & Company

    128,463  
57,868  

TAG Immobilien AG

    1,320,585  
24,471  

Takkt AG

    324,335  
37,581  

TLG Immobilien AG

    1,021,991  
 

 

 
  Total     67,555,381  
 

 

 

Greece (<0.1%)

 
13,877  

LAMDA Development SAa

    117,999  
69,796  

Mytilineos SA

    728,930  
 

 

 
  Total     846,929  
 

 

 

Guernsey (<0.1%)

 
44,292  

Regional REIT, Ltd.b

    56,180  
 

 

 
  Total     56,180  
 

 

 

Hong Kong (0.8%)

 
270,624  

China Mobile, Ltd.

    2,241,782  
233,500  

China Resources Pharmaceutical Group, Ltd.b

    218,447  
412,000  

China Traditional Medicine Holdings Company, Ltd.

    189,027  
54,443  

China Unicom (Hong Kong), Ltd. ADR

    571,107  
753,000  

CITIC Telecom International Holdings, Ltd.

    273,666  
1,960,000  

CITIC, Ltd.

    2,474,123  
210,000  

CSPC Pharmaceutical Group, Ltd.

    421,433  
367,000  

Far East Horizon, Ltd.

    340,844  
186,000  

Fosun International, Ltd.

    230,223  
718,000  

Haitong International Securities Group, Ltd.

    203,511  
597,778  

Hang Lung Group, Ltd.

    1,489,574  
84,000  

Hang Lung Properties, Ltd.

    190,637  
32,500  

Hengan International Group Company, Ltd.

    212,961  
6,231  

Hong Kong Exchanges & Clearing, Ltd.

    182,631  
751,000  

Kerry Properties, Ltd.

    2,312,410  
463,000  

Melco International Development, Ltd.

    1,099,923  
74,000  

Road King Infrastructure, Ltd.

    125,003  
271,000  

Shanghai Industrial Holdings, Ltd.

    504,904  
174,000  

Shun Tak Holdings, Ltd.

    69,182  
289,000  

Sun Hung Kai & Company, Ltd.

    125,054  
75,000  

Sunlight Real Estate Investment Trust

    50,128  
128,000  

Weichai Power Company, Ltd.

    184,656  
1,062,000  

Yuexiu Property Company, Ltd.

    230,404  
 

 

 
  Total     13,941,630  
 

 

 

India (0.9%)

 
386,562  

Coal India, Ltd.

    1,091,345  
38,994  

Container Corporation of India, Ltd.

    333,047  
Shares   Common Stock (84.0%)   Value

 

 

India (0.9%) - continued

 
11,784  

Divi’s Laboratories, Ltd.

    $277,268  
2,928  

Dr. Lal PathLabs, Ltd.b

    57,556  
7,924  

Dr. Reddy’s Laboratories, Ltd. ADR

    300,241  
22,723  

Greaves Cotton, Ltd.

    46,884  
52,124  

HCL Technologies, Ltd.

    794,929  
40,862  

Heidelberg Cement India, Ltd.

    108,644  
21,060  

Hero Motocorp, Ltd.

    804,538  
31,446  

Hindustan Unilever, Ltd.

    879,892  
126,682  

Housing Development Finance Corporation

    3,535,983  
60,407  

Infosys, Ltd. ADR

    686,828  
23,474  

Just Dial, Ltd.a

    228,776  
118,826  

LIC Housing Finance, Ltd.

    632,127  
15,944  

PVR, Ltd.

    414,991  
25,784  

Reliance Industries, Ltd.

    485,476  
40,980  

Syngene International, Ltd.b

    179,645  
75,938  

Tata Consultancy Services, Ltd.

    2,249,462  
80,448  

Tata Elxsi, Ltd.

    769,205  
60,168  

Tech Mahindra, Ltd.

    607,005  
219,170  

Wipro, Ltd. ADR

    799,970  
 

 

 
  Total     15,283,812  
 

 

 

Indonesia (0.3%)

 
3,942,456  

Astra International Tbk PT

    1,833,002  
1,121,578  

PT Bank Central Asia Tbk

    2,397,899  
569,600  

PT Industri Jamu Dan Farmasi Sido Muncul Tbk

    49,357  
2,063,100  

PT Mitra Adiperkasa Tbk

    149,636  
 

 

 
  Total     4,429,894  
 

 

 

Ireland (0.1%)

 
65,699  

C & C Group plc

    297,177  
112,817  

Glanbia plc

    1,401,805  
19,359  

Greencore Group plc

    53,666  
11,400  

UDG Healthcare plc

    105,131  
 

 

 
  Total     1,857,779  
 

 

 

Israel (1.6%)

 
26,684  

AudioCodes, Ltd.c

    504,594  
1,070,770  

Bank Leumi Le-Israel BM

    7,623,698  
120,429  

First International Bank of Israel, Ltd.

    3,205,748  
3,580,549  

Israel Discount Bank, Ltd.

    15,737,194  
842  

Paz Oil Company, Ltd.

    123,418  
149,925  

Plus500, Ltd.

    1,406,878  
 

 

 
  Total     28,601,530  
 

 

 

Italy (2.0%)

 
610,323  

A2A SPA

    1,120,049  
17,808  

Acea SPA

    355,532  
29,731  

Amplifon SPA

    729,414  
39,358  

ASTM SPA

    1,258,639  
17,266  

Azimut Holding SPA

    324,024  
77,218  

Banca Generali SPA

    2,381,474  
2,288  

Banca IFIS SPA

    38,137  
32,676  

Banca Popolare Di Sondrio SCRL

    59,808  
3,277  

Biesse SPA

    37,923  
11,580  

Buzzi Unicem SPA

    265,546  
26,102  

De’Longhi SPA

    492,167  
14,703  

DiaSorin SPA

    1,709,938  
135,550  

Enav SPAb

    765,310  
505,840  

Eni SPA

    7,731,674  
419,836  

Iren SPA

    1,224,543  
13,206  

La Doria SPA

    129,689  
955,793  

Piaggio & C. SPA

    2,827,347  
329,174  

Recordati SPA

    14,117,923  
3,845  

Reply SPA

    225,729  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

96


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (84.0%)   Value

 

 

Italy (2.0%) - continued

 
202,190  

Saras SPA

    $345,805  
41,656  

Unipol Gruppo SPA

    221,808  
 

 

 
  Total     36,362,479  
 

 

 

Japan (20.7%)

 
23,700  

Adeka Corporation

    295,684  
436  

AEON REIT Investment Corporation

    600,420  
75,800  

Aichi Corporation

    485,871  
30,200  

Aida Engineering, Ltd.

    245,780  
14,800  

Aisan Industry Company, Ltd.

    126,319  
39,000  

AOKI Holdings, Inc.

    376,128  
79,200  

Aoyama Trading Company, Ltd.

    1,382,293  
19,900  

Arcland Sakamoto Company, Ltd.

    232,179  
16,500  

Arcs Company, Ltd.

    346,937  
5,300  

Argo Graphics, Inc.

    127,912  
6,800  

ARUHI Corporation

    152,267  
12,000  

BayCurrent Consulting, Inc.

    531,282  
65,400  

Benesse Holdings, Inc.

    1,703,678  
49,500  

Broadleaf Company, Ltd.

    267,822  
35,000  

Bunka Shutter Company, Ltd.

    300,348  
36,600  

Canon Electronics, Inc.

    623,182  
182,156  

Canon, Inc.

    4,871,248  
47,700  

Capcom Company, Ltd.

    1,269,564  
7,200  

Cawachi, Ltd.

    139,136  
5,300  

Central Glass Company, Ltd.

    111,874  
88,000  

Chiyoda Company, Ltd.

    1,382,284  
8,000  

Chiyoda Integre Company, Ltd.

    158,694  
20,200  

Chugoku Marine Paints, Ltd.

    166,070  
599,426  

Citizen Watch Company, Ltd.

    2,940,767  
7,200  

Cocokara Fine, Inc.

    388,975  
15,800  

Computer Engineering & Consulting, Ltd.

    297,278  
12,000  

Cosel Company, Ltd.

    114,335  
28,900  

Cosmo Energy Holdings Company, Ltd.

    598,455  
2,900  

COSMOS Pharmaceutical Corporation

    568,198  
123,272  

Daido Steel Company, Ltd.

    4,869,186  
6,600  

Daiichi Jitsugyo Company, Ltd.

    190,242  
29,300  

Daiichikosho Company, Ltd.

    1,356,419  
53,300  

Daito Trust Construction Company, Ltd.

    6,826,582  
30,800  

DCM Holdings Company, Ltd.

    302,565  
145,600  

Dena Company, Ltd.

    2,574,057  
186,400  

Denso Corporation

    8,236,533  
11,700  

DOWA Holdings Company, Ltd.

    401,761  
122,022  

DTS Corporation

    2,551,130  
35,500  

EDION Corporation

    343,147  
14,400  

EPS Holdings, Inc.

    171,559  
27,600  

ES-CON JAPAN, Ltd.

    210,931  
133,000  

Exedy Corporation

    2,607,791  
112,000  

F@N Communications, Inc.

    560,225  
21,000  

Fancl Corporation

    560,860  
20,300  

Financial Products Group Company, Ltd.

    203,429  
7,500  

Foster Electric Company, Ltd.

    127,644  
11  

Frontier Real Estate Investment Corporation

    46,876  
18,300  

Fuji Oil Holdings, Inc.

    532,281  
1,600  

Fuji Soft, Inc.

    67,964  
2,500  

Fujibo Holdings, Inc.

    69,745  
6,800  

Fuyo General Lease Company, Ltd.

    410,036  
27,200  

Geo Holdings Corporation

    323,765  
66,500  

Glory, Ltd.

    1,869,085  
24,700  

Goldcrest Company, Ltd.

    485,415  
4,200  

GOLDWIN, Inc.

    360,980  
125,700  

Gree, Inc.

    573,441  
Shares   Common Stock (84.0%)   Value

 

 

Japan (20.7%) - continued

 
310,021  

GS Yuasa Corporation

    $5,384,517  
21,500  

H2O Retailing Corporation

    236,162  
63,400  

Hachijuni Bank, Ltd.

    259,740  
167  

Hankyu REIT, Inc.

    249,359  
94,500  

Hanwa Company, Ltd.

    2,594,570  
35,400  

Hazama Ando Corporation

    264,216  
24,800  

Heiwa Corporation

    511,533  
985  

Heiwa Real Estate REIT, Inc.

    1,268,104  
510,133  

Hino Motors, Ltd.

    4,227,507  
29,300  

Hitachi Capital Corporation

    597,992  
18,200  

Hogy Medical Company, Ltd.

    522,917  
83,900  

Hokuetsu Corporation

    421,591  
2,700  

Hokuhoku Financial Group, Inc.

    26,249  
162,000  

Honda Motor Company, Ltd.

    4,241,880  
54,100  

IBIDEN Company, Ltd.

    1,092,042  
1,776  

Ichigo Real Estate Investment Corporation

    1,847,861  
33,300  

Iida Group Holdings Company, Ltd.

    543,701  
25,200  

INES Corporation

    273,205  
2,700  

Information Services International- Dentsu, Ltd.

    84,558  
126,000  

Isuzu Motors, Ltd.

    1,395,752  
4,900  

Izumi Company, Ltd.

    192,184  
8,200  

JAFCO Company, Ltd.

    311,804  
32,000  

Japan Aviation Electronics Industry, Ltd.

    457,024  
1,118  

Japan Excellent, Inc.

    1,825,183  
536  

Japan Logistics Fund, Inc.

    1,325,562  
5,300  

Japan Petroleum Exploration Company, Ltd.

    134,838  
875  

Japan Rental Housing Investments, Inc.

    805,254  
868,200  

Japan Tobacco, Inc.

    19,021,951  
291,257  

JSR Corporation

    4,689,459  
266,600  

JVCKENWOOD Corporation

    789,721  
576,920  

JXTG Holdings, Inc.

    2,637,070  
17,900  

Kadokawa Dwango Corporation

    251,229  
12,500  

Kanamoto Company, Ltd.

    311,919  
479,911  

Kandenko Company, Ltd.

    4,305,295  
9,600  

Kanematsu Corporation

    108,440  
5,100  

Kanematsu Electronics, Ltd.

    145,884  
2,300  

Kawasaki Kisen Kaisha, Ltd.a

    26,947  
12,900  

Keihin Corporation

    190,543  
143  

Kenedix Retail REIT Corporation

    358,266  
78,800  

Kewpie Corporation

    1,845,642  
11,800  

Kintetsu World Express, Inc.

    166,929  
40,000  

KITZ Corporation

    267,890  
6,900  

Kohnan Shoji Company, Ltd.

    152,760  
55,100  

Kokuyo Company, Ltd.

    772,539  
85,200  

Komatsu, Ltd.

    1,964,694  
14,400  

KOMEDA Holdings Company, Ltd.

    268,901  
73,800  

Konoike Transport Company, Ltd.

    1,094,875  
167,800  

K’s Holdings Corporation

    1,827,513  
15,900  

Kureha Corporation

    951,569  
16,800  

Kyokuto Kaihatsu Kogyo Company, Ltd.

    202,961  
55,700  

KYORIN Holdings, Inc.

    924,661  
89,600  

Lintec Corporation

    1,783,631  
1,100  

M&A Capital Partners Corporation, Ltd.a

    66,154  
17,000  

Macnica Fuji Electronics Holdings, Inc.

    219,724  
113,100  

Maeda Corporation

    991,831  
26,500  

Makino Milling Machine Company, Ltd.

    1,161,588  
26,200  

Mandom Corporation

    652,517  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

97


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (84.0%)   Value

 

 

Japan (20.7%) - continued

 
1,564,900  

Marubeni Corporation

    $10,436,269  
38,168  

Maruichi Steel Tube, Ltd.

    1,013,724  
24,100  

Matsumotokiyoshi Holdings Company, Ltd.

    884,390  
609  

MCUBS MidCity Investment Corporation

    669,414  
600  

MegaChips Corporation

    9,264  
16,200  

Meiko Network Japan Company, Ltd.

    132,021  
1,800  

Mimasu Semiconductor Industry Company, Ltd.

    29,138  
20,900  

Ministop Company, Ltd.

    269,320  
21,100  

Miraca Holdings, Inc.

    482,649  
314,500  

Mitsubishi Corporation

    7,743,907  
63,400  

Mitsubishi Gas Chemical Company, Inc.

    852,724  
5,800  

Mitsubishi Research Institute, Inc.

    193,165  
12,600  

Mitsubishi Shokuhin Company, Ltd.

    316,797  
54,400  

Mitsubishi Tanabe Pharma Corporation

    599,505  
902,200  

Mitsui & Company, Ltd.

    14,819,913  
39,400  

Mitsui Engineering & Shipbuilding Company, Ltd.a

    348,030  
87,000  

Mitsui Mining and Smelting Company, Ltd.

    2,076,914  
7,700  

Mitsui Sugar Company, Ltd.

    159,268  
10,100  

Morinaga and Company, Ltd.

    491,630  
93,200  

NEC Networks & System Integration Corporation

    2,538,154  
48,800  

Net One Systems Company, Ltd.

    1,323,876  
10,000  

Nextage Company, Ltd.

    107,608  
434,800  

NHK Spring Company, Ltd.

    3,335,508  
3,500  

Nichiha Corporation

    95,881  
51,900  

Nichi-Iko Pharmaceutical Company, Ltd.

    579,683  
111,200  

Nichirei Corporation

    2,540,747  
9,700  

Nihon Chouzai Company, Ltd.

    333,715  
26,300  

Nihon M&A Center, Inc.

    743,945  
23,200  

Nihon Unisys, Ltd.

    749,892  
18,800  

Nikkon Holdings Company, Ltd.

    430,197  
24,200  

Nippon Flour Mills Company, Ltd.

    379,371  
1,372,000  

Nippon Light Metal Holdings Company, Ltd.

    2,476,860  
101  

Nippon REIT Investment Corporation

    421,746  
6,200  

Nippon Shokubai Company, Ltd.

    353,973  
817,996  

Nippon Steel Corporation

    11,462,037  
26,300  

Nippon Steel Trading Corporation

    1,031,397  
26,300  

Nipro Corporation

    296,189  
81,922  

Nishimatsu Construction Company, Ltd.

    1,531,285  
15,800  

Nishi-Nippon Financial Holdings, Inc.

    111,382  
9,600  

Nishio Rent All Company, Ltd.

    247,145  
2,792,705  

Nissan Motor Company, Ltd.

    17,435,850  
27,500  

Nisshin Oillio Group, Ltd.

    865,309  
19,700  

Nisshinbo Holdings, Inc.

    154,170  
1,600  

Nitto Kogyo Corporation

    30,422  
12,700  

Nojima Corporation

    214,098  
21,000  

Nomura Company, Ltd.

    265,647  
3,500  

Noritake Company, Ltd.

    129,598  
26,700  

North Pacific Bank, Ltd.

    56,910  
22,000  

NS Solutions Corporation

    722,080  
19,700  

NSD Company, Ltd.

    567,895  
437,600  

NSK, Ltd.

    3,708,690  
8,400  

OBIC Business Consultants Company, Ltd.

    342,258  
1,300  

Ohsho Food Service Corporation

    84,185  
11,350  

Okinawa Electric Power Company, Inc.

    178,780  
Shares   Common Stock (84.0%)   Value

 

 

Japan (20.7%) - continued

 
18,200  

Okuma Corporation

    $992,676  
76  

One REIT, Inc.

    223,200  
693,900  

Onward Holdings Company, Ltd.

    3,615,216  
88,200  

ORIX Corporation

    1,319,384  
111,700  

Otsuka Corporation

    4,470,406  
24,700  

OUTSOURCING Inc.

    236,603  
12,800  

Paramount Bed Holdings Company, Ltd.

    467,687  
232,402  

Park24 Company, Ltd.

    5,398,939  
1,333  

Premier Investment Corporation

    1,957,016  
32,500  

Pressance Corporation

    526,112  
215,697  

Relia, Inc.

    2,696,188  
44,000  

Rengo Company, Ltd.

    317,984  
82,500  

Rinnai Corporation

    5,559,060  
60,600  

Riso Kyoiku Corporation, Ltd.

    247,263  
97,300  

Round One Corporation

    1,459,126  
57,300  

Ryoyo Electro Corporation

    982,899  
9,700  

Saint Marc Holdings Company, Ltd.

    213,861  
68,000  

Samty Corporation, Ltd.

    1,189,763  
90,600  

Sanyo Special Steel Company, Ltd.

    1,214,624  
11,900  

Sato Holdings Corporation

    322,677  
27,200  

Sawai Pharmaceutical Company, Ltd.

    1,407,228  
10,100  

SBS Holdings, Inc.

    147,023  
31,500  

SCSK Corporation

    1,482,389  
45,100  

Seiko Holdings Corporation

    1,000,730  
68,600  

Seino Holdings Company, Ltd.

    861,208  
1,662  

Sekisui House REIT, Inc.

    1,490,953  
3,600  

Seria Company, Ltd.

    87,602  
17,800  

SHIMAMURA Company, Ltd.

    1,414,164  
72,300  

Shinko Electric Industries Company, Ltd.

    620,481  
15,300  

Ship Healthcare Holdings, Inc.

    652,304  
82,300  

SKY Perfect JSAT Holdings, Inc.

    333,819  
1,979,500  

Sojitz Corporation

    6,157,982  
4,200  

Square ENIX Holdings Company, Ltd.

    204,177  
45  

Star Asia Investment Corporation

    48,578  
7,000  

Starts Corporation, Inc.

    171,374  
172,300  

Sugi Holdings Company, Ltd.

    9,350,785  
420,600  

Sumitomo Corporation

    6,584,687  
1,143,300  

Sumitomo Electric Industries, Ltd.

    14,590,143  
15,800  

Sumitomo Forestry Company, Ltd.

    210,968  
484,500  

Sumitomo Rubber Industries, Ltd.

    5,769,414  
36,900  

Sumitomo Warehouse Company, Ltd.

    488,220  
443,302  

Sundrug Company, Ltd.

    13,987,671  
2,100  

Systena Corporation

    31,307  
800  

T. Hasegawa Company, Ltd.

    14,834  
23,500  

Taiho Kogyo Company, Ltd.

    167,997  
25,700  

Takara Holdings, Inc.

    255,300  
146,600  

Takara Leben Company, Ltd.

    568,532  
49,500  

Takuma Company, Ltd.

    563,217  
34,600  

TANSEISHA Company, Ltd.

    389,016  
56,400  

TIS, Inc.

    3,258,692  
3,600  

TKC Corporation

    156,517  
14,000  

Toa Corporation

    169,670  
48,000  

Toho Holdings Company, Ltd.

    1,115,253  
98,600  

Tokyo Dome Corporation

    950,583  
175,700  

Tokyo Seimitsu Company, Ltd.

    5,210,153  
127,000  

Tokyo Tatemono Company, Ltd.

    1,792,563  
13,300  

Tokyotokeiba Company, Ltd.

    404,689  
72,500  

Tosei Corporation

    858,774  
35,000  

Towa Pharmaceutical Company, Ltd.

    814,267  
18,500  

Toyo Tanso Company, Ltd.

    400,621  
37,700  

Toyoda Gosei Company, Ltd.

    758,953  
6,400  

Transcosmos, Inc.

    154,671  
54,559  

Trend Micro, Inc.

    2,607,290  
90,100  

Tsubakimoto Chain Company

    2,900,090  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

98


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (84.0%)   Value

 

 

Japan (20.7%) - continued

 
369,600  

TV Asahi Holdings Corporation

    $5,834,653  
15,900  

Ube Industries, Ltd.

    323,012  
46,300  

United Arrows, Ltd.

    1,355,559  
19,100  

Universal Entertainment Corporation

    619,713  
30,300  

Vision, Inc.a

    439,571  
14,000  

Wacoal Holdings Corporation

    361,464  
48,100  

Wakita & Company, Ltd.

    475,220  
19,100  

Yellow Hat, Ltd.

    282,721  
21,300  

Yokohama Reito Company, Ltd.

    204,713  
26,400  

Zenrin Company, Ltd.

    448,749  
 

 

 
  Total     368,622,510  
 

 

 

Jersey (0.2%)

 
638,197  

boohoo group plca

    2,079,287  
605,631  

Man Group plc

    1,300,235  
15,278  

Sanne Group PLC

    102,002  
 

 

 
  Total     3,481,524  
 

 

 

Luxembourg (<0.1%)

 
177,065  

B&M European Value Retail SA

    825,596  
 

 

 
  Total     825,596  
 

 

 

Malaysia (0.2%)

 
11,800  

AEON Credit Service (M) Berhad

    41,090  
771,500  

Bermaz Auto Berhad

    420,114  
2,355,900  

Bumi Armada Berhada

    182,768  
455,400  

Digi.Com Berhad

    516,497  
390,068  

Public Bank Berhad

    1,870,047  
 

 

 
  Total     3,030,516  
 

 

 

Mexico (0.2%)

 
488,000  

Corporacion Inmobiliaria Vesta, SAB de CV

    748,791  
16,072  

Fomento Economico Mexicano SAB de CV ADR

    1,471,874  
95,733  

Grupo Financiero Banorte SAB de CV ADR

    515,970  
350,800  

Wal-Mart de Mexico, SAB de CV

    1,039,743  
 

 

 
  Total     3,776,378  
 

 

 

Netherlands (4.5%)

 
116,342  

Aalberts NV

    4,607,270  
57,865  

ASM International NV

    5,323,714  
44,112  

ASML Holding NV

    10,940,407  
81,034  

ASR Nederland NV

    2,990,131  
71,557  

BE Semiconductor Industries NV

    2,238,403  
98,969  

Euronext NVb

    8,103,703  
7,007  

Ferrari NV

    1,081,275  
2,711  

Flow Tradersb

    70,976  
46,989  

Intertrust NVb

    919,225  
39,272  

Koninklijke DSM NV

    4,727,653  
249,076  

Koninklijke Philips NV

    11,509,611  
14,596  

Koninklijke VolkerWessels NV

    258,362  
3,713  

NSI NV

    160,464  
509,035  

Signify NVb

    13,989,654  
108,679  

TomTom NV

    1,218,635  
195,259  

Unilever NV

    11,724,838  
4,815  

Vastned Retail NV

    143,799  
5,737  

Wereldhave NVc

    127,515  
 

 

 
  Total     80,135,635  
 

 

 

New Zealand (0.2%)

 
134,981  

Air New Zealand, Ltd.

    236,770  
370,868  

Contact Energy, Ltd.

    1,983,525  
Shares   Common Stock (84.0%)   Value

 

 

New Zealand (0.2%) - continued

 
416,884  

Z Energy, Ltd.

    $1,462,565  
 

 

 
  Total     3,682,860  
 

 

 

Norway (1.2%)

 
11,082  

Atea ASA

    142,520  
73,006  

Austevoll Seafood ASA

    693,299  
615,873  

DnB ASA

    10,856,600  
393,546  

Elkem ASAb

    958,994  
225,185  

Entra ASAb

    3,531,832  
219,045  

Europris ASA

    605,764  
53,302  

Grieg Seafood ASA

    652,456  
183,504  

Leroy Seafood Group ASA

    1,116,301  
51,542  

SalMar ASA

    2,262,819  
9,770  

SpareBank 1 Nord-Norge

    72,950  
27,541  

SpareBank 1 SMN

    298,328  
11,694  

Storebrand ASA

    73,927  
33,858  

TGS Nopec Geophysical Company ASA

    856,986  
11,329  

Veidekke ASA

    127,209  
 

 

 
  Total     22,249,985  
 

 

 

Panama (<0.1%)

 
36,985  

Avianca Holdings SA ADR

    134,625  
 

 

 
  Total     134,625  
 

 

 

Philippines (<0.1%)

 
286,540  

Bank of the Philippine Islands

    514,260  
31,630  

Manila Electric Company

    225,653  
 

 

 
  Total     739,913  
 

 

 

Poland (<0.1%)

 
20,404  

Asseco Poland SA

    259,919  
88,781  

Enea SAa

    190,396  
19,134  

KGHM Polska Miedz SAa

    381,914  
 

 

 
  Total     832,229  
 

 

 

Portugal (<0.1%)

 
6,184,256  

Banco Espirito Santo SAa,d,e

    674  
103,931  

NOS SGPS SA

    567,435  
78,972  

Sonae

    73,531  
 

 

 
  Total     641,640  
 

 

 

Russia (0.7%)

 
233,607  

Gazprom OAO ADR

    1,611,888  
35,993  

Lukoil ADR

    2,973,104  
111,330  

M.Video PJSCa

    724,405  
1,530,470  

Moscow Exchange MICEX-RTS PJSC

    2,235,670  
18,032  

Novolipetsk Steel OJSC GDR

    395,254  
266  

PAO Transneft

    614,398  
102,536  

Sberbank of Russia PJSC

    359,203  
222,879  

Surgutneftegas ADR

    1,192,403  
2,531,000  

Surgutneftegas PJSC

    1,461,228  
 

 

 
  Total     11,567,553  
 

 

 

Singapore (0.5%)

 
144,300  

China Aviation Oil (Singapore) Corporation, Ltd.

    121,139  
4,256  

China Yuchai International, Ltd.

    55,115  
431,300  

DBS Group Holdings, Ltd.

    7,802,698  
144,900  

Frasers Commercial Trust

    168,787  
310,100  

Yanlord Land Group, Ltd.

    262,803  
 

 

 
  Total     8,410,542  
 

 

 

South Africa (0.5%)

 
115,033  

Absa Group, Ltd.

    1,161,821  
15,677  

Adcock Ingram Holdings, Ltd.

    58,743  
54,652  

AECI, Ltd.

    346,280  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

99


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (84.0%)   Value

 

 

South Africa (0.5%) - continued

 
5,366  

AngloGold Ashanti, Ltd. ADR

    $98,037  
57,693  

Barloworld, Ltd.

    439,553  
177,311  

DataTec, Ltd.

    390,915  
48,666  

Emira Property Fund, Ltd.

    39,588  
178,369  

FirstRand, Ltd.

    732,842  
27,798  

Foschini Group, Ltd.

    300,287  
82,478  

Harmony Gold Mining Company, Ltd. ADRa

    234,237  
16,564  

Impala Platinum Holdings, Ltd.a

    104,231  
240,830  

Investec, Ltd.

    1,269,744  
514,166  

Momentum Metropolitan Holdings

    633,159  
58,199  

Motus Holdings, Ltd.

    264,255  
44,026  

MultiChoice Group, Ltd.a

    342,736  
16,385  

Naspers, Ltd.

    2,480,840  
 

 

 
  Total     8,897,268  
 

 

 

South Korea (1.1%)

 
2,637  

AK holdings, Inc.

    69,340  
3,041  

Binggrae Company, Ltd.

    148,218  
2,649  

Celltrion, Inc.a

    362,394  
29,034  

Cheil Worldwide, Inc.

    601,967  
6,579  

CJ CGV Corporation, Ltd.

    183,472  
33,373  

Dongkuk Steel Mill Corporation , Ltd.a

    181,103  
85,711  

Doosan Heavy Construction Corporation, Ltd.a

    487,148  
37,373  

Doosan Infracore Corporation , Ltd.a

    196,661  
442  

Green Cross Corporation

    41,912  
1,318  

GS Home Shopping, Inc.

    170,841  
3,134  

Handsome Corporation

    76,446  
19,831  

Hanwha Corporation

    418,127  
24,108  

Hanwha Investment & Securities Corporation, Ltd.a

    42,475  
7,925  

Huchems Fine Chemical Corporation

    141,779  
5,260  

Hyundai Motor Company

    588,936  
8,333  

Hyundai Steel Company

    270,723  
3,824  

Hyundai Wia Corporation

    162,847  
2,272  

Innocean Worldwide, Inc.

    126,502  
65,180  

JB Financial Group Corporation, Ltd.

    306,197  
1,948  

Kakao Corporation

    220,543  
3,729  

KEPCO Plant Service & Engineering Company, Ltd.

    107,698  
29,451  

Kia Motors Corporation

    1,122,882  
4,197  

Korea Zinc Company, Ltd.

    1,570,944  
261  

LG Household & Health Care, Ltd.

    284,861  
33,199  

LG International Corporation

    475,828  
6,926  

LS Corporation

    274,491  
2,928  

NAVER Corporation

    384,052  
9,655  

Nexen Tire Corporation

    72,914  
45,773  

NH Investment & Securities Company, Ltd.

    485,425  
9,443  

Poongsan Corporation

    175,837  
1,720  

POSCO

    326,040  
22,023  

Samsung Card Corporation, Ltd.

    646,748  
152,743  

Samsung Electronics Company, Ltd.

    6,253,918  
12,183  

Samsung Securities Corporation, Ltd.

    359,457  
4,480  

SeAH Besteel Corporation

    61,390  
24,198  

Seegene, Inc.a

    413,206  
18,029  

Shinhan Financial Group Company, Ltd.

    629,987  
11,872  

SK Hynix, Inc.

    815,373  
3,301  

Soulbrain Company, Ltd.

    201,380  
23,065  

Sungwoo Hitech Corporation, Ltd.

    73,699  
431  

Taekwang Industrial Corporation, Ltd.

    407,165  
27,955  

Woori Financial Group, Inc.

    290,588  
Shares   Common Stock (84.0%)   Value

 

 

South Korea (1.1%) - continued

 
87  

YoungPoong Corporation

    $44,184  
 

 

 
  Total     20,275,698  
 

 

 

Spain (2.1%)

 
96,105  

ACS Actividades de Construccion y Servicios, SA

    3,839,982  
80,587  

Amadeus IT Holding SA

    5,774,207  
64,652  

Applus Services SA

    838,464  
559,492  

Banco Bilbao Vizcaya Argentaria SA

    2,912,437  
373,963  

Bankinter SA

    2,359,825  
197,452  

CIA De Distribucion Integral

    3,847,379  
6,609  

Construcciones y Auxiliar de Ferrocarriles SA

    300,026  
217,050  

Enagas SA

    5,017,454  
28,492  

Global Dominion Access SAa,b

    114,618  
117,397  

Grifols SA

    3,460,654  
33,555  

Lar Espana Real Estate SOCIMI SA

    281,981  
8,997  

Let’s GOWEX SAa,d,e

    1  
634,270  

Mediaset Espana Comunicacion SAc

    4,088,415  
266,271  

Merlin Properties Socimi SA

    3,717,511  
31,005  

Neinor Homes SAa,b

    416,959  
 

 

 
  Total     36,969,913  
 

 

 

Sweden (2.0%)

 
25,873  

AAK AB

    501,450  
241,137  

AB Industrivarden

    5,275,124  
90,324  

Arjo AB

    342,204  
6,331  

Axfood AB

    134,416  
32,962  

Betsson AB

    159,531  
50,088  

Bilia AB

    397,558  
2,475  

BioGaia AB

    108,692  
41,100  

Biotage AB

    427,040  
26,219  

Bure Equity AB

    383,034  
172,750  

Castellum AB

    3,698,403  
596,374  

Cloetta AB

    1,710,746  
35,758  

Dios Fastigheter AB

    311,923  
11,664  

Dustin Group ABb

    93,252  
3,471  

Evolution Gaming Group ABb

    68,211  
13,143  

Fortnox AB

    220,562  
88,732  

Getinge AB

    1,240,299  
85,451  

Granges AB

    872,034  
145,155  

Hemfosa Fastigheter AB

    1,469,761  
386,094  

Kungsleden AB

    3,505,513  
9,621  

Lifco AB

    453,479  
48,051  

Lindab International AB

    489,704  
4,755  

Loomis AB

    166,970  
62,336  

Micronic Mydata AB

    771,169  
187,840  

NetEnt AB

    579,126  
92,437  

Nobia AB

    535,907  
381,215  

Nobina ABb

    2,382,433  
28,504  

Nolato AB

    1,520,892  
61,377  

Resurs Holding ABb

    363,664  
110,231  

Skandinaviska Enskilda Banken AB

    1,012,880  
225,066  

SKF AB

    3,716,548  
8,166  

SkiStar AB

    104,356  
15,117  

Svenska Cellulosa AB SCA

    134,706  
20,650  

SWECO AB

    586,326  
15,113  

Vitrolife AB

    247,057  
73,786  

Wihlborgs Fastigheter AB

    1,199,056  
 

 

 
  Total     35,184,026  
 

 

 

Switzerland (7.3%)

 
55,660  

Baloise Holding AG

    9,972,867  
5,239  

Bucher Industries AG

    1,638,857  
14,352  

DKSH Holding AG

    716,415  
1,232  

dorma+kaba Holding AG

    794,578  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

100


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (84.0%)   Value

 

 

Switzerland (7.3%) - continued

 
30,163  

Ferrexpo plc

    $59,787  
12,665  

Flughafen Zuerich AG

    2,344,291  
116  

Forbo Holding AG

    172,270  
34,700  

Galenica AGb

    1,993,027  
17,492  

Helvetia Holding AG

    2,414,187  
10,812  

Huber & Suhner AG

    696,253  
75  

Inficon Holding AG

    48,629  
2,858  

Kardex AG

    394,624  
13,170  

Landis+Gyr Group AG

    1,180,502  
79,477  

Logitech International SA

    3,229,740  
214,540  

Nestle SA

    23,267,837  
302,240  

Novartis AG

    26,230,500  
22,132  

OC Oerlikon Corporation AG

    222,180  
31,910  

PSP Swiss Property AG

    4,051,357  
114,406  

Roche Holding AG

    33,310,990  
12,078  

Roche Holding AG-BR

    3,496,232  
1,408  

Siegfried Holding AG

    554,118  
38,069  

Sonova Holding AG

    8,857,926  
3,706  

Straumann Holding AG

    3,031,319  
7,032  

Tecan Group AG

    1,680,802  
 

 

 
  Total     130,359,288  
 

 

 

Taiwan (1.6%)

 
28,000  

A-DATA Technology Company, Ltd.

    45,355  
112,000  

Ardentec Corporation

    100,592  
160,000  

Capital Securities Corporation

    45,447  
111,000  

Cheng Uei Precision Industry Company, Ltd.

    124,469  
296,000  

Chicony Electronics Company, Ltd.

    871,913  
2,084,000  

China Development Financial Holding Corporation

    620,692  
434,520  

China Man-Made Fiber Corporation

    114,200  
497,000  

China Steel Corporation

    368,406  
170,000  

Coretronic Corporation

    204,175  
142,000  

Delta Electronics, Inc.

    606,682  
440,000  

Far Eastern Department Stores, Ltd.

    338,939  
42,000  

Feng Hsin Iron & Steel Company, Ltd.

    69,572  
18,000  

Formosa International Hotels Corporation

    91,695  
368,000  

Formosa Plastics Corporation

    1,121,037  
503,000  

Fubon Financial Holding Company, Ltd.

    722,166  
236,000  

Hon Hai Precision Industry Company, Ltd.

    556,870  
417,130  

IBF Financial Holdings Company, Ltd.

    143,863  
225,000  

King Yuan Electronics Company, Ltd.

    252,662  
41,000  

MediaTek, Inc.

    487,806  
58,000  

Namchow Holdings Company, Ltd.

    94,018  
44,000  

PharmaEngine, Inc.

    110,634  
703,000  

Pou Chen Corporation

    901,185  
201,000  

Powertech Technology, Inc.

    564,805  
25,000  

Realtek Semiconductor Corporation

    185,352  
188,000  

SerComm Corporation

    478,614  
962,000  

Shinkong Synthetic Fibers Corporation

    353,004  
114,000  

Sigurd Microelectronics Corporation

    121,577  
37,000  

Sitronix Technology Corporation

    198,615  
110,000  

Sunonwealth Electric Machine Industry Company, Ltd.

    133,707  
270,000  

Supreme Electronics Company, Ltd.

    252,324  
150,000  

Systex Corporation

    352,765  
80,000  

Taiwan Hon Chuan Enterprise Company, Ltd.

    142,640  
1,141,515  

Taiwan Semiconductor Manufacturing Company, Ltd.

    10,138,405  
54,000  

Taiwan Styrene Monomer Corporation

    37,864  
Shares   Common Stock (84.0%)   Value

 

 

Taiwan (1.6%) - continued

 
105,000  

Topco Scientific Company, Ltd.

    $322,989  
166,000  

Transcend Information, Inc.

    344,509  
84,000  

Tung Ho Steel Enterprise Corporation

    58,339  
231,000  

TXC Corporation

    290,131  
1,018,000  

Uni-President Enterprises Corporation

    2,456,582  
203,000  

Unitech Printed Circuit Board Corporation

    231,302  
1,518,000  

United Microelectronics Corporation

    650,914  
114,000  

WT Microelectronics Company, Ltd.

    142,372  
4,031,000  

Yuanta Financial Holding Company, Ltd.

    2,405,278  
669,000  

Yulon Motor Company, Ltd.

    423,807  
 

 

 
  Total     28,278,273  
 

 

 

Thailand (0.3%)

 
100,000  

Advanced Info Service Public Company, Ltd. NVDR

    719,888  
900,300  

Bangkok Dusit Medical Services Public Company, Ltd. NVDR

    712,267  
681,300  

Charoen Pokphand Foods Public Company, Ltd. NVDR

    584,966  
176,600  

Com7 Public Company, Ltd. NVDR

    140,891  
567,200  

CP ALL Public Company, Ltd. NVDR

    1,505,458  
485,800  

GFPT Public Company, Ltd. NVDR

    284,374  
82,500  

Intouch Holdings Public Company, Ltd. NVDR

    176,790  
833,500  

Major Cineplex Group Public Company, Ltd. NVDR

    651,603  
20,800  

PTT Exploration and Production Public Company, Ltd. NVDR

    82,331  
86,200  

Supalai Public Company, Ltd. NVDR

    50,744  
1,269,600  

Thai Union Group Public Company, Ltd. NVDR

    693,280  
256,000  

Thai Vegetable Oil Public Company, Ltd. NVDR

    217,416  
 

 

 
  Total     5,820,008  
 

 

 

Turkey (0.1%)

 
621,165  

Haci Omer Sabanci Holding AS

    1,051,493  
72,641  

Koza Anadolu Metal Madencilik Isletmeleri ASa

    118,602  
74,768  

Turk Hava Yollari Anonim Ortakligia

    163,618  
 

 

 
  Total     1,333,713  
 

 

 

United Kingdom (11.4%)

 
285,293  

3i Group plc

    4,083,197  
138,933  

Abcam plc

    1,957,822  
49,166  

Ascential plcb

    229,223  
72,616  

Ashmore Group plc

    451,785  
259,854  

Assura plc

    227,805  
256,424  

Auto Trader Group plcb

    1,607,171  
172,100  

Aviva plc

    844,867  
106,286  

Barratt Developments plc

    846,101  
39,639  

Beazley plc

    302,941  
72,790  

Bellway plc

    2,992,392  
459,406  

BHP Group plc

    9,812,537  
61,345  

Bodycote plc

    540,097  
59,915  

Bovis Homes Group plc

    820,971  
63,283  

Brewin Dolphin Holdings plc

    247,415  
27,837  

Britvic plc

    336,329  
4,892  

Close Brothers Group plc

    84,692  
221,118  

Compass Group plc

    5,689,939  
26,372  

Computacenter plc

    418,412  
66,172  

Daily Mail and General Trust plc

    693,944  
22,642  

Diploma plc

    462,968  
1,252,389  

Direct Line Insurance Group plc

    4,620,681  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

101


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (84.0%)   Value

 

 

United Kingdom (11.4%) - continued

 

846  

EMIS Group plc

    $10,568  
12,916  

Empiric Student Property plc

    14,817  
15,030  

Euromoney Institutional Investor plc

    273,505  
57,867  

Fevertree Drinks plc

    1,721,304  
19,630  

Forterra plcb

    68,667  
3,002  

Games Workshop Group plc

    173,890  
1,232,433  

GlaxoSmithKline plc

    26,416,585  
266,572  

Great Portland Estates plc

    2,458,214  
68,940  

Greggs plc

    1,772,362  
246,790  

Halma plc

    5,973,626  
526,170  

Hansteen Holdings plc

    596,179  
328,713  

Hays plc

    609,388  
132,491  

HomeServe plc

    1,932,035  
4,820  

Howden Joinery Group plc

    33,173  
1,960,801  

HSBC Holdings plc

    15,024,088  
211,961  

Ibstock plcb

    615,573  
347,967  

IG Group Holdings plc

    2,578,167  
97,483  

Inchcape plc

    756,741  
55,251  

Intermediate Capital Group plc

    987,969  
187,879  

JD Sports Fashion plc

    1,734,083  
481,812  

Jupiter Fund Management plc

    2,106,038  
4,562,224  

Lloyds TSB Group plc

    3,024,376  
32,203  

Marshalls plc

    262,119  
71,362  

Mondi plc

    1,366,390  
2,255,991  

Moneysupermarket.com Group plc

    10,491,494  
1,150,958  

National Express Group plc

    6,127,612  
69,328  

PageGroup plc

    373,725  
261,191  

Paragon Banking Group plc

    1,548,848  
46,432  

Playtech plc

    243,283  
11,775  

QinetiQ Group plc

    41,807  
236,320  

Redrow plc

    1,794,715  
183,392  

RELX plc

    4,355,487  
82,413  

Rio Tinto plc

    4,284,020  
245,934  

Rotork plc

    940,698  
552,918  

Royal Dutch Shell plc, Class A

    16,215,873  
608,338  

Royal Dutch Shell plc, Class B

    17,979,608  
50,774  

RWS Holdings plc

    366,457  
51,373  

Safestore Holdings plc

    422,260  
739,277  

Sage Group plc

    6,282,461  
47,089  

Senior plc

    108,617  
207,349  

Smith & Nephew plc

    4,993,336  
178,512  

Sophos Group plcb

    879,205  
126,136  

SSP Group plc

    960,478  
863,068  

Taylor Wimpey plc

    1,713,122  
268,502  

Tritax Big Box REIT plc

    493,829  
4,095  

Ultra Electronics Holdings plc

    101,698  
241,385  

Unilever plc

    14,507,638  
1,935  

Vesuvius plc

    10,835  
 

 

 
  Total     203,018,252  
 

 

 
 

 

 
  Total Common Stock (cost $1,454,326,369)     1,499,698,557  
 

 

 
Shares   Collateral Held for Securities Loaned
(0.6%)
   

 

 
10,211,455  

Thrivent Cash Management Trust

    10,211,455  
 

 

 
  Total Collateral Held for Securities Loaned
(cost $10,211,455)
    10,211,455  
 

 

 
Shares   Preferred Stock (<0.1%)   Value

 

 

South Korea (0.1%)

 

60,075  

Samsung Electronics Company, Ltd.

    $1,983,021  
 

 

 
  Total     1,983,021  
 

 

 
 

 

 
  Total Preferred Stock
(cost $956,869)
    1,983,021  
 

 

 
Principal
Amount
  Long-Term Fixed Income (<0.1%)    

 

 

Venezuela (0.1%)

 

 

Petroleos de Venezuela SA

 
$11,370,000  

6.000%, 10/28/2022f

    682,200  
7,010,000  

6.000%, 5/16/2024f

    560,800  
1,326,000  

6.000%, 11/15/2026f

    106,080  
1,410,000  

5.375%, 4/12/2027f

    112,800  
210,000  

5.500%, 4/12/2037f

    16,800  
 

 

 
  Total     1,478,680  
 

 

 
 

 

 
  Total Long-Term Fixed Income (cost $7,583,707)     1,478,680  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (15.0%)    

 

 
 

Federal Home Loan Bank Discount
Notes

 

1,200,000

 

1.940%, 11/8/2019g,h

    1,197,619  

3,000,000

 

1.941%, 11/12/2019g,h

    2,993,420  

7,500,000

 

1.947%, 11/19/2019g,h

    7,480,808  

1,400,000

 

1.910%, 12/5/2019g,h

    1,395,273  

9,100,000

 

1.920%, 12/11/2019g,h

    9,066,438  
 

Thrivent Core Short-Term Reserve Fund

 

24,569,766

 

2.230%

    245,697,658  
 

 

 
  Total Short-Term Investments (cost $267,829,244)     267,831,216  
 

 

 
  Total Investments
(cost $1,740,907,644) 99.8%
    $1,781,202,929  
 

 

 
  Other Assets and Liabilities, Net 0.2%     2,806,234  
 

 

 
  Total Net Assets 100.0%     $1,784,009,163  
 

 

 

 

a

Non-income producing security.

b

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $46,174,102 or 2.6% of total net assets.

c

All or a portion of the security is on loan.

d

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

e

In bankruptcy. Interest is not being accrued.

f

Defaulted security. Interest is not being accrued.

g

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

h

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

102


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent International Allocation Portfolio as of September 30, 2019:

 

Securities Lending Transactions       

Common Stock

     $7,257,926  

Total lending

     $7,257,926  
Gross amount payable upon return of collateral for securities loaned      $10,211,455  

Net amounts due to counterparty

     $2,953,529  

 

Definitions:    
ADR     -     American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
GDR     -     Global Depository Receipts, which are certificates for shares of an underlying foreign security’s shares held by an issuing depository bank from more than one country.
NVDR     -     Non-Voting Depository Receipts
REIT     -     Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

103


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing International Allocation Portfolio’s assets carried at fair value.

 

Investments in Securities      Total        Level 1        Level 2        Level 3  

Common Stock

                   

Communications Services

       48,435,657          1,701,570          46,734,086          1  

Consumer Discretionary

       183,936,551          10,924,634          173,011,917           

Consumer Staples

       131,898,994          1,471,874          130,427,120           

Energy

       65,758,638          4,094,287          61,664,351           

Financials

       283,819,038          4,203,528          279,614,836          674  

Health Care

       190,863,911          300,241          190,563,670           

Industrials

       240,592,491          1,147,236          239,445,255           

Information Technology

       149,488,897          3,366,211          146,122,686           

Materials

       99,617,415          1,097,943          98,519,472           

Real Estate

       87,319,258                   87,319,258           

Utilities

       17,967,707          427,389          17,540,318           

Preferred Stock

                   

Information Technology

       1,983,021                   1,983,021           

Long-Term Fixed Income

                   

Energy

       1,478,680                   1,478,680           

Short-Term Investments

       22,133,558                   22,133,558           

Subtotal Investments in Securities

       $1,525,293,816          $28,734,913          $1,496,558,228          $675  
Other Investments *      Total           

Affiliated Short-Term Investments

       245,697,658  

Collateral Held for Securities Loaned

       10,211,455  

Subtotal Other Investments

       $255,909,113  
            

Total Investments at Value

       $1,781,202,929  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments      Total        Level 1        Level 2                  Level 3         

Asset Derivatives

                          

Futures Contracts

       3,498,787          3,498,787                           

Total Asset Derivatives

     $ 3,498,787        $ 3,498,787                   $                $  

Liability Derivatives

                          

Futures Contracts

       1,941,748          1,941,748                                       

Total Liability Derivatives

     $ 1,941,748        $ 1,941,748                   $                $  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

104


INTERNATIONAL ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents International Allocation Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $22,163,511 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
     Expiration
Date
     Notional Principal
Amount
    Value and
Unrealized

CME Euro Foreign Exchange Currency

     896                  December 2019        $123,952,658       ($1,172,658 )     

Eurex Euro STOXX 50 Index

     3,222                  December 2019        123,215,224       1,630,384  

FTSE 100 Index

     1                  December 2019        89,851       809  

ICE mini MSCI EAFE Index

     1,655                  December 2019        157,861,690       (769,090

SFE S&P ASX Share Price Index 200

     1                  December 2019        112,207       544  

TSE Tokyo Price Index

     1                  December 2019        141,941       4,926  

Total Futures Long Contracts

                       $405,373,571       ($305,085

ICE US mini MSCI Emerging Markets Index

     (1,100)                December 2019        ($56,966,624     $1,862,124  

Total Futures Short Contracts

                       ($56,966,624     $1,862,124  

Total Futures Contracts

                       $348,406,947       $1,557,039  

 

Reference Description:

ASX

   -   

Australian Securities Exchange

CME

   -   

Chicago Mercantile Exchange

EAFE

   -   

Europe, Australasia and Far East

FTSE

   -   

Financial Times Stock Exchange

ICE

   -   

Intercontinental Exchange

MSCI

   -   

Morgan Stanley Capital International

S&P

   -   

Standard & Poor’s

SFE

   -   

Sydney Futures Exchange

TSE

   -   

Tokyo Stock Exchange

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.    

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in International Allocation Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $29,341        $702,272        $485,915        $245,698        24,570        13.8%  

Total Affiliated Short-Term Investments

     29,341                          245,698                 13.8  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     9,299        183,438        182,526        10,211        10,211        0.6  

Total Collateral Held for Securities Loaned

     9,299                          10,211                 0.6  

Total Value

     $38,640                          $255,909                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $3,062  

Total Income from Affiliated Investments

                                $3,062  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          374  

Total Affiliated Income from Securities Loaned, Net

                                $374  

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

105


LARGE CAP GROWTH PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (98.9%)   Value

 

 

Communications Services (12.5%)

 
376,116  

Activision Blizzard, Inc.

    $19,904,059  
79,976  

Alphabet, Inc., Class Aa

    97,661,892  
304,524  

Facebook, Inc.a

    54,229,634  
 

 

 
  Total     171,795,585  
 

 

 

Consumer Discretionary (20.8%)

 

130,016  

Alibaba Group Holding, Ltd. ADRa

    21,742,576  
81,261  

Amazon.com, Inc.a

    141,061,783  
129,858  

Home Depot, Inc.

    30,129,653  
93,011  

Netflix, Inc.a

    24,891,604  
493,633  

NIKE, Inc.

    46,362,011  
237,475  

Starbucks Corporation

    20,997,539  
 

 

 
  Total     285,185,166  
 

 

 

Consumer Staples (2.6%)

 

321,923  

Monster Beverage Corporationa

    18,690,850  
224,582  

Philip Morris International, Inc.

    17,052,511  
 

 

 
  Total     35,743,361  
 

 

 

Financials (5.7%)

 

350,235  

Bank of America Corporation

    10,216,355  
426,872  

Charles Schwab Corporation

    17,856,056  
319,456  

Intercontinental Exchange, Inc.

    29,476,205  
81,830  

S&P Global, Inc.

    20,046,713  
 

 

 
  Total     77,595,329  
 

 

 

Health Care (14.2%)

 

324,140  

Abbott Laboratories

    27,120,794  
102,115  

Edwards Lifesciences Corporationa

    22,456,110  
63,288  

Illumina, Inc.a

    19,253,475  
55,682  

Intuitive Surgical, Inc.a

    30,064,382  
63,826  

Thermo Fisher Scientific, Inc.

    18,590,599  
123,453  

UnitedHealth Group, Inc.

    26,828,806  
114,575  

Vertex Pharmaceuticals, Inc.a

    19,411,297  
249,290  

Zoetis, Inc.

    31,059,041  
 

 

 
  Total     194,784,504  
 

 

 

Industrials (5.0%)

 

185,549  

Honeywell International, Inc.

    31,394,891  
44,485  

Lockheed Martin Corporation

    17,351,819  
111,447  

Norfolk Southern Corporation

    20,022,568  
 

 

 
  Total     68,769,278  
 

 

 

Information Technology (35.6%)

 

326,431  

Apple, Inc.

    73,110,751  
313,484  

Cisco Systems, Inc.

    15,489,244  
115,498  

Fiserv, Inc.a

    11,964,438  
65,997  

Intuit, Inc.

    17,551,242  
201,031  

MasterCard, Inc.

    54,593,989  
810,015  

Microsoft Corporation

    112,616,386  
120,376  

NVIDIA Corporation

    20,953,850  
385,698  

PayPal Holdings, Inc.a

    39,954,456  
208,293  

Salesforce.com, Inc.a

    30,919,013  
189,497  

Square, Inc.a

    11,739,339  
153,321  

Texas Instruments, Inc.

    19,815,206  
415,068  

Visa, Inc.

    71,395,847  
52,670  

Workday, Inc.a

    8,951,793  
 

 

 
  Total     489,055,554  
 

 

 

Materials (1.2%)

 

80,837  

Ecolab, Inc.

    16,008,959  
 

 

 
  Total     16,008,959  
 

 

 
Shares   Common Stock (98.9%)   Value

 

 

Real Estate (1.3%)

 
83,835  

American Tower Corporation

    $18,538,433  
 

 

 
  Total     18,538,433  
 

 

 
 

 

 
  Total Common Stock
(cost $904,516,381)
    1,357,476,169  
 

 

 
Shares   Short-Term Investments (1.3%)   Value

 

 
 

Thrivent Core Short-Term Reserve Fund

 

1,778,140

 

2.230%

    17,781,405  
 

 

 
  Total Short-Term Investments
(cost $17,781,405)
    17,781,405  
 

 

 
  Total Investments
(cost $922,297,786) 100.2%
    $1,375,257,574  
 

 

 
  Other Assets and Liabilities, Net (0.2%)     (2,335,075
 

 

 
  Total Net Assets 100.0%     $1,372,922,499  
 

 

 

 

a

Non-income producing security.

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

106


LARGE CAP GROWTH PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Large Cap Growth Portfolio’s assets carried at fair value.

 

Investments in Securities      Total        Level 1        Level 2        Level 3  

Common Stock

                   

Communications Services

       171,795,585          171,795,585                    

Consumer Discretionary

       285,185,166          285,185,166                    

Consumer Staples

       35,743,361          35,743,361                    

Financials

       77,595,329          77,595,329                    

Health Care

       194,784,504          194,784,504                    

Industrials

       68,769,278          68,769,278                    

Information Technology

       489,055,554          489,055,554                    

Materials

       16,008,959          16,008,959                    

Real Estate

       18,538,433          18,538,433                    

Subtotal Investments in Securities

       $1,357,476,169          $1,357,476,169          $–          $–  

Other Investments *

       Total       

Affiliated Short-Term Investments

       17,781,405  

Subtotal Other Investments

       $17,781,405  
            

Total Investments at Value

       $1,375,257,574  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Large Cap Growth Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $11,249        $116,105        $109,573        $17,781        1,778        1.3%  

Total Affiliated Short-Term Investments

     11,249                          17,781                 1.3  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

            1,894        1,894                       

Total Collateral Held for Securities Loaned

                                               

Total Value

     $11,249                          $17,781                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $417  

Total Income from Affiliated Investments

                                $417  

Cash Management Trust- Collateral Investment

                          0  

Total Affiliated Income from Securities Loaned, Net

                                $0  

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

107


LARGE CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (99.8%)   Value

 

 

Communications Services (9.9%)

 
34,681  

Activision Blizzard, Inc.

    $1,835,318  
13,604  

Alphabet, Inc., Class Aa

    16,612,389  
13,724  

Alphabet, Inc., Class Ca

    16,729,556  
331,857  

AT&T, Inc.

    12,557,469  
14,862  

CBS Corporation

    599,979  
44,585  

CenturyLink, Inc.

    556,421  
7,343  

Charter Communications, Inc.a

    3,026,197  
205,987  

Comcast Corporation

    9,285,894  
7,074  

Discovery, Inc., Class Aa,b

    188,381  
15,757  

Discovery, Inc., Class Ca

    387,937  
10,906  

DISH Network Corporationa

    371,567  
13,498  

Electronic Arts, Inc.a

    1,320,374  
109,259  

Facebook, Inc.a

    19,456,843  
15,895  

Fox Corporation, Class A

    501,249  
7,315  

Fox Corporation, Class B

    230,715  
17,342  

Interpublic Group of Companies, Inc.

    373,893  
17,360  

News Corporation, Class A

    241,651  
5,576  

News Corporation

    79,709  
9,879  

Omnicom Group, Inc.

    773,526  
5,098  

Take-Two Interactive Software, Inc.a

    638,983  
14,284  

T-Mobile US, Inc.a

    1,125,151  
35,108  

Twitter, Inc.a

    1,446,450  
187,842  

Verizon Communications, Inc.

    11,338,143  
15,933  

Viacom, Inc.

    382,870  
81,812  

Walt Disney Company

    10,661,740  
 

 

 
  Total     110,722,405  
 

 

 

Consumer Discretionary (10.6%)

 
3,237  

Advance Auto Parts, Inc.

    535,400  
18,871  

Amazon.com, Inc.a

    32,758,358  
11,715  

Aptiv plc

    1,024,125  
1,111  

AutoZone, Inc.a

    1,205,013  
10,548  

Best Buy Company, Inc.

    727,707  
1,931  

Booking Holdings, Inc.a

    3,789,800  
9,358  

BorgWarner, Inc.

    343,251  
6,876  

Capri Holdings, Ltd.a

    228,008  
7,524  

CarMax, Inc.a

    662,112  
18,040  

Carnival Corporation

    788,528  
1,158  

Chipotle Mexican Grill, Inc.a

    973,264  
15,310  

D.R. Horton, Inc.

    806,990  
5,564  

Darden Restaurants, Inc.

    657,776  
11,696  

Dollar General Corporation

    1,858,962  
10,721  

Dollar Tree, Inc.a

    1,223,909  
35,808  

eBay, Inc.

    1,395,796  
6,351  

Expedia Group, Inc.

    853,638  
177,419  

Ford Motor Company

    1,625,158  
9,623  

Gap, Inc.

    167,055  
6,562  

Garmin, Ltd.

    555,736  
57,061  

General Motors Company

    2,138,646  
6,575  

Genuine Parts Company

    654,804  
9,260  

H&R Block, Inc.

    218,721  
16,283  

Hanesbrands, Inc.

    249,456  
7,276  

Harley-Davidson, Inc.

    261,718  
5,330  

Hasbro, Inc.

    632,618  
13,028  

Hilton Worldwide Holdings, Inc.

    1,213,037  
49,738  

Home Depot, Inc.

    11,540,211  
7,440  

Kohl’s Corporation

    369,470  
10,606  

L Brands, Inc.

    207,772  
5,905  

Leggett & Platt, Inc.

    241,751  
12,936  

Lennar Corporation

    722,476  
14,182  

LKQ Corporationa

    446,024  
35,052  

Lowe’s Companies, Inc.

    3,854,318  
13,854  

Macy’s, Inc.

    215,291  
12,415  

Marriott International, Inc.

    1,544,054  
34,491  

McDonald’s Corporation

    7,405,563  
23,681  

MGM Resorts International

    656,437  
Shares   Common Stock (99.8%)   Value

 

 

Consumer Discretionary (10.6%) - continued

 
2,772  

Mohawk Industries, Inc.a

    $343,922  
19,885  

Netflix, Inc.a

    5,321,624  
17,525  

Newell Brands, Inc.

    328,068  
56,898  

NIKE, Inc.

    5,343,860  
4,828  

Nordstrom, Inc.b

    162,559  
9,806  

Norwegian Cruise Line Holdings, Ltd.a

    507,657  
156  

NVR, Inc.a

    579,907  
3,475  

O’Reilly Automotive, Inc.a

    1,384,822  
11,487  

PulteGroup, Inc.

    419,850  
3,412  

PVH Corporation

    301,041  
2,433  

Ralph Lauren Corporation

    232,278  
16,563  

Ross Stores, Inc.

    1,819,446  
7,728  

Royal Caribbean Cruises, Ltd.

    837,174  
54,363  

Starbucks Corporation

    4,806,776  
13,064  

Tapestry, Inc.

    340,317  
23,196  

Target Corporation

    2,479,884  
4,888  

Tiffany & Company

    452,775  
54,904  

TJX Companies, Inc.

    3,060,349  
5,464  

Tractor Supply Company

    494,164  
4,684  

TripAdvisor, Inc.a

    181,177  
2,673  

Ulta Beauty, Inc.a

    669,987  
8,460  

Under Armour, Inc., Class Aa,b

    168,692  
8,674  

Under Armour, Inc., Class Ca

    157,260  
14,745  

VF Corporation

    1,312,158  
2,866  

Whirlpool Corporation

    453,860  
4,364  

Wynn Resorts, Ltd.

    474,454  
13,805  

Yum! Brands, Inc.

    1,565,901  
 

 

 
  Total     118,952,915  
 

 

 

Consumer Staples (7.6%)

 
84,706  

Altria Group, Inc.

    3,464,475  
25,234  

Archer-Daniels-Midland Company

    1,036,360  
8,266  

Brown-Forman Corporation

    518,939  
7,659  

Campbell Soup Company

    359,360  
11,079  

Church & Dwight Company, Inc.

    833,584  
5,774  

Clorox Company

    876,897  
174,781  

Coca-Cola Company

    9,515,078  
38,821  

Colgate-Palmolive Company

    2,853,732  
21,878  

Conagra Brands, Inc.

    671,217  
7,570  

Constellation Brands, Inc.

    1,569,110  
19,974  

Costco Wholesale Corporation

    5,754,709  
13,539  

Coty, Inc.

    142,295  
10,047  

Estee Lauder Companies, Inc.

    1,998,851  
27,408  

General Mills, Inc.

    1,510,729  
6,765  

Hershey Company

    1,048,507  
12,610  

Hormel Foods Corporationb

    551,435  
5,125  

J.M. Smucker Company

    563,853  
11,310  

Kellogg Company

    727,798  
15,632  

Kimberly-Clark Corporation

    2,220,526  
28,019  

Kraft Heinz Company

    782,711  
36,523  

Kroger Company

    941,563  
6,600  

Lamb Weston Holdings, Inc.

    479,952  
5,524  

McCormick & Company, Inc.

    863,401  
8,455  

Molson Coors Brewing Company

    486,163  
65,497  

Mondelez International, Inc.

    3,623,294  
17,619  

Monster Beverage Corporationa

    1,022,959  
63,468  

PepsiCo, Inc.

    8,701,463  
70,660  

Philip Morris International, Inc.

    5,365,214  
113,565  

Procter & Gamble Company

    14,125,215  
23,307  

Sysco Corporation

    1,850,576  
13,302  

Tyson Foods, Inc.

    1,145,834  
34,455  

Walgreens Boots Alliance, Inc.

    1,905,706  
64,588  

Wal-Mart Stores, Inc.

    7,665,304  
 

 

 
  Total     85,176,810  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

108


LARGE CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (99.8%)   Value

 

 

Energy (4.5%)

 
16,913  

Apache Corporation

    $432,973  
29,469  

Baker Hughes, Inc.

    683,681  
19,074  

Cabot Oil & Gas Corporation

    335,130  
86,245  

Chevron Corporation

    10,228,657  
4,571  

Cimarex Energy Company

    219,134  
9,037  

Concho Resources, Inc.

    613,612  
50,419  

ConocoPhillips

    2,872,875  
18,708  

Devon Energy Corporation

    450,114  
7,405  

Diamondback Energy, Inc.

    665,784  
26,274  

EOG Resources, Inc.

    1,950,056  
192,161  

Exxon Mobil Corporation

    13,568,488  
39,311  

Halliburton Company

    741,012  
4,929  

Helmerich & Payne, Inc.

    197,505  
11,754  

Hess Corporation

    710,882  
7,078  

HollyFrontier Corporation

    379,664  
88,420  

Kinder Morgan, Inc.

    1,822,336  
37,297  

Marathon Oil Corporation

    457,634  
30,000  

Marathon Petroleum Corporation

    1,822,500  
17,275  

National Oilwell Varco, Inc.

    366,230  
21,787  

Noble Energy, Inc.

    489,336  
40,514  

Occidental Petroleum Corporation

    1,801,658  
18,755  

ONEOK, Inc.

    1,382,056  
20,371  

Phillips 66

    2,085,990  
7,586  

Pioneer Natural Resources Company

    954,091  
62,811  

Schlumberger, Ltd.

    2,146,252  
19,169  

TechnipFMC plc

    462,740  
18,836  

Valero Energy Corporation

    1,605,581  
55,046  

Williams Companies, Inc.

    1,324,407  
 

 

 
  Total     50,770,378  
 

 

 

Financials (12.9%)

 
2,374  

Affiliated Managers Group, Inc.

    197,873  
33,841  

Aflac, Inc.

    1,770,561  
14,951  

Allstate Corporation

    1,624,875  
30,898  

American Express Company

    3,654,615  
39,508  

American International Group, Inc.

    2,200,596  
5,944  

Ameriprise Financial, Inc.

    874,362  
10,711  

Aon plc

    2,073,328  
8,451  

Arthur J. Gallagher & Company

    756,956  
2,780  

Assurant, Inc.

    349,780  
380,473  

Bank of America Corporation

    11,098,397  
38,959  

Bank of New York Mellon Corporation

    1,761,336  
34,677  

BB&T Corporation

    1,850,712  
89,055  

Berkshire Hathaway, Inc.a

    18,525,221  
5,335  

BlackRock, Inc.

    2,377,489  
21,261  

Capital One Financial Corporation

    1,934,326  
5,055  

Cboe Global Markets, Inc.

    580,870  
52,837  

Charles Schwab Corporation

    2,210,172  
20,730  

Chubb, Ltd.

    3,346,651  
6,827  

Cincinnati Financial Corporation

    796,506  
102,598  

Citigroup, Inc.

    7,087,470  
20,305  

Citizens Financial Group, Inc.

    718,188  
16,263  

CME Group, Inc.

    3,437,022  
6,783  

Comerica, Inc.

    447,610  
14,453  

Discover Financial Services

    1,171,994  
11,097  

E*TRADE Financial Corporation

    484,828  
1,833  

Everest Re Group, Ltd.

    487,743  
32,922  

Fifth Third Bancorp

    901,404  
7,640  

First Republic Bank

    738,788  
12,810  

Franklin Resources, Inc.

    369,697  
14,697  

Goldman Sachs Group, Inc.

    3,045,659  
16,422  

Hartford Financial Services Group, Inc.

    995,337  
47,162  

Huntington Bancshares, Inc.

    673,002  
25,452  

Intercontinental Exchange, Inc.

    2,348,456  
17,955  

Invesco, Ltd.

    304,158  
Shares   Common Stock (99.8%)   Value

 

 

Financials (12.9%) - continued

 
145,218  

J.P. Morgan Chase & Company

    $17,090,706  
45,449  

KeyCorp

    810,810  
9,204  

Lincoln National Corporation

    555,185  
11,810  

Loews Corporation

    607,979  
6,071  

M&T Bank Corporation

    959,036  
1,706  

MarketAxess Holdings, Inc.

    558,715  
22,995  

Marsh & McLennan Companies, Inc.

    2,300,650  
36,150  

MetLife, Inc.

    1,704,834  
7,390  

Moody’s Corporation

    1,513,694  
57,048  

Morgan Stanley

    2,434,238  
3,799  

MSCI, Inc.

    827,232  
5,217  

Nasdaq, Inc.

    518,309  
9,840  

Northern Trust Corporation

    918,269  
17,715  

People’s United Financial, Inc.

    276,974  
20,222  

PNC Financial Services Group, Inc.

    2,834,316  
11,661  

Principal Financial Group, Inc.

    666,310  
26,553  

Progressive Corporation

    2,051,219  
18,257  

Prudential Financial, Inc.

    1,642,217  
5,719  

Raymond James Financial, Inc.

    471,589  
45,851  

Regions Financial Corporation

    725,363  
11,186  

S&P Global, Inc.

    2,740,346  
17,060  

State Street Corporation

    1,009,781  
20,162  

SunTrust Banks, Inc.

    1,387,146  
2,371  

SVB Financial Groupa

    495,421  
27,720  

Synchrony Financial

    944,975  
10,644  

T. Rowe Price Group, Inc.

    1,216,077  
4,616  

Torchmark Corporation

    442,028  
11,867  

Travelers Companies, Inc.

    1,764,504  
65,127  

U.S. Bancorp

    3,604,128  
9,670  

Unum Group

    287,392  
182,099  

Wells Fargo & Company

    9,185,074  
5,816  

Willis Towers Watson plc

    1,122,314  
8,037  

Zions Bancorporations NA

    357,807  
 

 

 
  Total     145,220,620  
 

 

 

Health Care (13.6%)

 
80,269  

Abbott Laboratories

    6,716,107  
67,147  

AbbVie, Inc.

    5,084,371  
2,031  

ABIOMED, Inc.a

    361,295  
14,055  

Agilent Technologies, Inc.

    1,077,035  
10,184  

Alexion Pharmaceuticals, Inc.a

    997,421  
3,279  

Align Technology, Inc.a

    593,237  
14,898  

Allergan plc

    2,507,184  
6,907  

AmerisourceBergen Corporation

    568,653  
27,236  

Amgen, Inc.

    5,270,438  
11,645  

Anthem, Inc.

    2,795,965  
23,188  

Baxter International, Inc.

    2,028,254  
12,260  

Becton, Dickinson and Company

    3,101,290  
8,377  

Biogen, Inc.a

    1,950,333  
63,264  

Boston Scientific Corporationa

    2,574,212  
74,290  

Bristol-Myers Squibb Company

    3,767,246  
13,581  

Cardinal Health, Inc.

    640,887  
32,188  

Celgene Corporationa

    3,196,268  
18,615  

Centene Corporationa

    805,285  
14,613  

Cerner Corporation

    996,168  
17,123  

Cigna Holding Company

    2,599,100  
2,223  

Cooper Companies, Inc.

    660,231  
59,064  

CVS Health Corporation

    3,725,167  
28,996  

Danaher Corporation

    4,187,892  
4,398  

DaVita, Inc.a

    250,994  
10,182  

Dentsply Sirona, Inc.

    542,802  
9,440  

Edwards Lifesciences Corporationa

    2,075,950  
38,585  

Eli Lilly and Company

    4,314,961  
57,466  

Gilead Sciences, Inc.

    3,642,195  
12,032  

HCA Healthcare, Inc.

    1,448,893  
6,821  

Henry Schein, Inc.a

    433,134  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

109


LARGE CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (99.8%)   Value

 

 

Health Care (13.6%) - continued

 
12,065  

Hologic, Inc.a

    $609,162  
6,108  

Humana, Inc.

    1,561,632  
3,875  

IDEXX Laboratories, Inc.a

    1,053,729  
6,655  

Illumina, Inc.a

    2,024,584  
8,004  

Incyte Corporationa

    594,137  
5,227  

Intuitive Surgical, Inc.a

    2,822,214  
8,274  

IQVIA Holding, Inc.a

    1,235,970  
119,861  

Johnson & Johnson

    15,507,616  
4,472  

Laboratory Corporation of America Holdingsa

    751,296  
8,398  

McKesson Corporation

    1,147,671  
60,934  

Medtronic plc

    6,618,651  
116,283  

Merck & Company, Inc.

    9,788,703  
1,117  

Mettler-Toledo International, Inc.a

    786,815  
23,231  

Mylan NVa

    459,509  
7,844  

Nektar Therapeuticsa,b

    142,878  
4,992  

PerkinElmer, Inc.

    425,169  
6,179  

Perrigo Company plc

    345,344  
251,359  

Pfizer, Inc.

    9,031,329  
6,049  

Quest Diagnostics, Inc.

    647,424  
3,629  

Regeneron Pharmaceuticals, Inc.a

    1,006,685  
6,456  

ResMed, Inc.

    872,270  
14,573  

Stryker Corporation

    3,152,140  
2,073  

Teleflex, Inc.

    704,302  
18,188  

Thermo Fisher Scientific, Inc.

    5,297,619  
43,027  

UnitedHealth Group, Inc.

    9,350,628  
3,689  

Universal Health Services, Inc.

    548,739  
4,090  

Varian Medical Systems, Inc.a

    487,078  
11,674  

Vertex Pharmaceuticals, Inc.a

    1,977,809  
3,032  

Waters Corporationa

    676,833  
2,252  

Wellcare Health Plans, Inc.a

    583,651  
9,325  

Zimmer Biomet Holdings, Inc.

    1,280,043  
21,671  

Zoetis, Inc.

    2,699,990  
 

 

 
  Total     153,104,588  
 

 

 

Industrials (9.8%)

 
26,098  

3M Company

    4,290,511  
6,389  

A.O. Smith Corporation

    304,819  
5,547  

Alaska Air Group, Inc.

    360,056  
4,256  

Allegion plc

    441,134  
18,215  

American Airlines Group, Inc.

    491,259  
10,371  

AMETEK, Inc.

    952,265  
17,593  

Arconic, Inc.

    457,418  
24,278  

Boeing Company

    9,237,051  
6,166  

C.H. Robinson Worldwide, Inc.

    522,754  
25,551  

Caterpillar, Inc.

    3,227,347  
3,815  

Cintas Corporation

    1,022,802  
9,048  

Copart, Inc.a

    726,826  
33,861  

Corteva, Inc.

    948,108  
36,250  

CSX Corporation

    2,511,038  
7,166  

Cummins, Inc.

    1,165,693  
14,349  

Deere & Company

    2,420,389  
26,281  

Delta Air Lines, Inc.

    1,513,786  
6,530  

Dover Corporation

    650,127  
19,116  

Eaton Corporation plc

    1,589,495  
27,936  

Emerson Electric Company

    1,867,801  
5,438  

Equifax, Inc.

    764,963  
7,734  

Expeditors International of Washington, Inc.

    574,559  
25,785  

Fastenal Company

    842,396  
10,900  

FedEx Corporation

    1,586,713  
5,901  

Flowserve Corporation

    275,636  
13,267  

Fortive Corporation

    909,586  
6,379  

Fortune Brands Home and Security, Inc.

    348,931  
10,626  

General Dynamics Corporation

    1,941,689  
Shares   Common Stock (99.8%)   Value

 

 

Industrials (9.8%) - continued

 
396,351  

General Electric Company

    $3,543,378  
32,677  

Honeywell International, Inc.

    5,528,948  
1,871  

Huntington Ingalls Industries, Inc.

    396,259  
3,426  

IDEX Corporation

    561,453  
18,216  

IHS Markit, Ltd.a

    1,218,286  
13,369  

Illinois Tool Works, Inc.

    2,092,115  
10,910  

Ingersoll-Rand plc

    1,344,221  
6,154  

Jacobs Engineering Group, Inc.

    563,091  
3,919  

JB Hunt Transport Services, Inc.

    433,637  
36,029  

Johnson Controls International plc

    1,581,313  
4,548  

Kansas City Southern

    604,929  
10,141  

L3Harris Technologies, Inc.

    2,115,818  
24,574  

Linde Public Limited Company

    4,760,475  
11,286  

Lockheed Martin Corporation

    4,402,217  
13,268  

Masco Corporation

    553,010  
16,014  

Nielsen Holdings plc

    340,298  
11,963  

Norfolk Southern Corporation

    2,149,273  
7,146  

Northrop Grumman Corporation

    2,678,249  
15,621  

PACCAR, Inc.

    1,093,626  
5,828  

Parker Hannifin Corporation

    1,052,595  
7,632  

Pentair, Ltd.

    288,490  
6,541  

Quanta Services, Inc.

    247,250  
12,611  

Raytheon Company

    2,474,152  
9,614  

Republic Services, Inc.

    832,092  
5,401  

Robert Half International, Inc.

    300,620  
5,314  

Rockwell Automation, Inc.

    875,747  
6,640  

Rollins, Inc.

    226,225  
4,701  

Roper Industries, Inc.

    1,676,377  
2,506  

Snap-On, Inc.

    392,289  
22,129  

Southwest Airlines Company

    1,195,187  
6,819  

Stanley Black & Decker, Inc.

    984,732  
10,573  

Textron, Inc.

    517,654  
2,254  

TransDigm Group, Inc.

    1,173,590  
32,047  

Union Pacific Corporation

    5,190,973  
10,094  

United Airlines Holdings, Inc.a

    892,411  
31,716  

United Parcel Service, Inc.

    3,800,211  
3,560  

United Rentals, Inc.a

    443,718  
36,839  

United Technologies Corporation

    5,029,260  
7,367  

Verisk Analytics, Inc.

    1,165,017  
2,032  

W.W. Grainger, Inc.

    603,809  
8,271  

Wabtec Corporation

    594,354  
17,689  

Waste Management, Inc.

    2,034,235  
8,089  

Xylem, Inc.

    644,046  
 

 

 
  Total     110,540,782  
 

 

 

Information Technology (21.9%)

 
28,878  

Accenture plc

    5,554,683  
22,047  

Adobe, Inc.a

    6,090,484  
49,301  

Advanced Micro Devices, Inc.a

    1,429,236  
7,459  

Akamai Technologies, Inc.a

    681,603  
1,791  

Alliance Data Systems Corporation

    229,481  
13,430  

Amphenol Corporation

    1,295,995  
16,741  

Analog Devices, Inc.

    1,870,472  
3,774  

ANSYS, Inc.a

    835,413  
192,930  

Apple, Inc.

    43,210,532  
41,953  

Applied Materials, Inc.

    2,093,455  
2,471  

Arista Networks, Inc.a

    590,371  
9,943  

Autodesk, Inc.a

    1,468,581  
19,705  

Automatic Data Processing, Inc.

    3,180,781  
18,079  

Broadcom, Ltd.

    4,991,070  
5,212  

Broadridge Financial Solutions, Inc.

    648,529  
12,632  

Cadence Design Systems, Inc.a

    834,723  
6,572  

CDW Corporation

    809,933  
192,805  

Cisco Systems, Inc.

    9,526,495  
5,638  

Citrix Systems, Inc.

    544,180  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

110


LARGE CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (99.8%)   Value

 

 

Information Technology (21.9%) - continued

 
25,083  

Cognizant Technology Solutions Corporation

    $1,511,627  
35,446  

Corning, Inc.

    1,010,920  
12,086  

DXC Technology Company

    356,537  
2,678  

F5 Networks, Inc.a

    376,045  
27,860  

Fidelity National Information Services, Inc.

    3,698,694  
25,924  

Fiserv, Inc.a

    2,685,467  
3,932  

FleetCor Technologies, Inc.a

    1,127,619  
6,103  

FLIR Systems, Inc.

    320,957  
6,534  

Fortinet, Inc.a

    501,550  
4,042  

Gartner, Inc.a

    577,966  
13,627  

Global Payments, Inc.

    2,166,693  
59,296  

Hewlett Packard Enterprise Company

    899,520  
67,303  

HP, Inc.

    1,273,373  
201,194  

Intel Corporation

    10,367,527  
40,233  

International Business Machines Corporation

    5,850,683  
11,812  

Intuit, Inc.

    3,141,283  
1,642  

IPG Photonics Corporationa

    222,655  
3,477  

Jack Henry & Associates, Inc.

    507,538  
15,675  

Juniper Networks, Inc.

    387,956  
8,459  

Keysight Technologies, Inc.a

    822,638  
7,233  

KLA-Tencor Corporation

    1,153,302  
6,564  

Lam Research Corporation

    1,517,006  
6,139  

Leidos Holdings, Inc.

    527,217  
40,546  

MasterCard, Inc.

    11,011,077  
12,317  

Maxim Integrated Products, Inc.

    713,277  
10,811  

Microchip Technology, Inc.

    1,004,450  
50,105  

Micron Technology, Inc.a

    2,146,999  
346,772  

Microsoft Corporation

    48,211,711  
7,461  

Motorola Solutions, Inc.

    1,271,429  
10,805  

NetApp, Inc.

    567,371  
27,659  

NVIDIA Corporation

    4,814,602  
99,990  

Oracle Corporation

    5,502,450  
14,398  

Paychex, Inc.

    1,191,722  
53,440  

PayPal Holdings, Inc.a

    5,535,850  
5,349  

Qorvo, Inc.a

    396,575  
55,211  

QUALCOMM, Inc.

    4,211,495  
39,830  

Salesforce.com, Inc.a

    5,912,365  
10,752  

Seagate Technology plc

    578,350  
7,798  

Skyworks Solutions, Inc.

    617,991  
25,823  

Symantec Corporation

    610,197  
6,743  

Synopsys, Inc.a

    925,477  
15,305  

TE Connectivity, Ltd.

    1,426,120  
42,477  

Texas Instruments, Inc.

    5,489,727  
4,746  

VeriSign, Inc.a

    895,238  
78,433  

Visa, Inc.

    13,491,260  
13,443  

Western Digital Corporation

    801,741  
19,638  

Western Union Company

    455,012  
9,004  

Xerox Holdings Corporation

    269,310  
11,406  

Xilinx, Inc.

    1,093,835  
 

 

 
  Total     246,036,421  
 

 

 

Materials (2.2%)

 
9,967  

Air Products and Chemicals, Inc.

    2,211,279  
4,842  

Albemarle Corporationb

    336,616  
73,125  

Amcor plc

    712,969  
3,847  

Avery Dennison Corporation

    436,904  
15,063  

Ball Corporation

    1,096,737  
5,620  

Celanese Corporation

    687,270  
9,916  

CF Industries Holdings, Inc.

    487,867  
33,861  

Dow, Inc.

    1,613,477  
33,861  

DuPont de Nemours, Inc.

    2,414,628  
6,297  

Eastman Chemical Company

    464,908  
11,370  

Ecolab, Inc.

    2,251,715  
Shares   Common Stock (99.8%)   Value

 

 

Materials (2.2%) - continued

 
5,924  

FMC Corporation

    $519,416  
65,284  

Freeport-McMoRan, Inc.

    624,768  
4,849  

International Flavors & Fragrances, Inc.b

    594,924  
18,101  

International Paper Company

    756,984  
11,724  

LyondellBasell Industries NV

    1,048,946  
2,813  

Martin Marietta Materials, Inc.

    771,043  
15,977  

Mosaic Company

    327,528  
37,237  

Newmont Mining Corporation

    1,412,027  
13,906  

Nucor Corporation

    707,954  
4,257  

Packaging Corporation of America

    451,668  
10,732  

PPG Industries, Inc.

    1,271,849  
7,045  

Sealed Air Corporation

    292,438  
3,729  

Sherwin-Williams Company

    2,050,465  
5,939  

Vulcan Materials Company

    898,214  
11,505  

WestRock Company

    419,357  
 

 

 
  Total     24,861,951  
 

 

 

Real Estate (3.2%)

 
5,079  

Alexandria Real Estate Equities, Inc.

    782,369  
20,105  

American Tower Corporation

    4,445,819  
6,738  

Apartment Investment & Management Company

    351,319  
6,311  

AvalonBay Communities, Inc.

    1,358,948  
6,529  

Boston Properties, Inc.

    846,550  
15,275  

CBRE Group, Inc.a

    809,728  
18,823  

Crown Castle International Corporation

    2,616,585  
9,462  

Digital Realty Trust, Inc.

    1,228,262  
16,185  

Duke Realty Corporation

    549,804  
3,852  

Equinix, Inc.

    2,221,834  
15,832  

Equity Residential

    1,365,668  
2,960  

Essex Property Trust, Inc.

    966,884  
5,837  

Extra Space Storage, Inc.

    681,878  
3,166  

Federal Realty Investment Trust

    431,019  
22,304  

HCP, Inc.

    794,692  
33,361  

Host Hotels & Resorts, Inc.

    576,812  
12,902  

Iron Mountain, Inc.

    417,896  
18,985  

Kimco Realty Corporation

    396,407  
4,770  

Macerich Company

    150,684  
5,131  

Mid-America Apartment Communities, Inc.

    667,081  
28,559  

Prologis, Inc.

    2,433,798  
6,819  

Public Storage, Inc.

    1,672,496  
14,453  

Realty Income Corporation

    1,108,256  
7,547  

Regency Centers Corporation

    524,441  
5,127  

SBA Communications Corporation

    1,236,376  
13,989  

Simon Property Group, Inc.

    2,177,388  
3,865  

SL Green Realty Corporation

    315,964  
13,300  

UDR, Inc.

    644,784  
16,921  

Ventas, Inc.

    1,235,741  
7,193  

Vornado Realty Trust

    457,978  
18,334  

Welltower, Inc.

    1,661,977  
33,633  

Weyerhaeuser Company

    931,634  
 

 

 
  Total     36,061,072  
 

 

 

Utilities (3.6%)

 
29,839  

AES Corporation

    487,569  
10,636  

Alliant Energy Corporation

    573,599  
11,022  

Ameren Corporation

    882,311  
22,426  

American Electric Power Company, Inc.

    2,101,092  
8,143  

American Water Works Company, Inc.

    1,011,605  
5,368  

Atmos Energy Corporation

    611,362  
22,580  

CenterPoint Energy, Inc.

    681,464  
12,768  

CMS Energy Corporation

    816,514  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

111


LARGE CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (99.8%)   Value

 

 

Utilities (3.6%) - continued

 
15,085  

Consolidated Edison, Inc.

    $1,425,080  
37,328  

Dominion Energy, Inc.

    3,025,061  
8,295  

DTE Energy Company

    1,102,903  
33,090  

Duke Energy Corporation

    3,172,007  
16,263  

Edison International, Inc.

    1,226,555  
9,030  

Entergy Corporation

    1,059,761  
10,694  

Evergy, Inc.

    711,793  
14,697  

Eversource Energy

    1,256,153  
43,960  

Exelon Corporation

    2,123,708  
24,524  

FirstEnergy Corporation

    1,182,793  
22,197  

NextEra Energy, Inc.

    5,171,679  
16,782  

NiSource, Inc.

    502,117  
11,448  

NRG Energy, Inc.

    453,341  
5,053  

Pinnacle West Capital Corporation

    490,495  
32,480  

PPL Corporation

    1,022,795  
22,964  

Public Service Enterprise Group, Inc.

    1,425,605  
12,469  

Sempra Energy

    1,840,549  
47,471  

Southern Company

    2,932,284  
14,212  

WEC Energy Group, Inc.

    1,351,561  
23,815  

Xcel Energy, Inc.

    1,545,355  
 

 

 
  Total     40,187,111  
 

 

 
 

 

 
  Total Common Stock
(cost $639,788,321)
    1,121,635,053  
 

 

 
Shares   Collateral Held for Securities Loaned
(0.2%)
  Value

 

 
1,992,495  

Thrivent Cash Management Trust

    1,992,495  
 

 

 
  Total Collateral Held for Securities Loaned
(cost $1,992,495)
    1,992,495  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (0.1%)   Value

 

 
 

Federal Home Loan Bank Discount Notes

 
300,000  

1.940%, 11/19/2019c,d

    299,233  
 

Thrivent Core Short-Term Reserve Fund

 
141,759  

2.230%

    1,417,585  
 

 

 
  Total Short-Term Investments
(cost $1,716,793)
    1,716,818  
 

 

 
  Total Investments
(cost $643,497,609) 100.1%
    $1,125,344,366  
 

 

 
  Other Assets and Liabilities, Net (0.1%)     (1,261,606
 

 

 
  Total Net Assets 100.0%     $1,124,082,760  
 

 

 

 

a

Non-income producing security.

b

All or a portion of the security is on loan.

c

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

d

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Large Cap Index Portfolio as of September 30, 2019:

 

Securities Lending Transactions       

Common Stock

     $1,971,922  

Total lending

     $1,971,922  

Gross amount payable upon return of collateral for securities loaned

     $1,992,495  

Net amounts due to counterparty

     $20,573  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

112


LARGE CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Large Cap Index Portfolio’s assets carried at fair value.

 

Investments in Securities      Total        Level 1        Level 2        Level 3  

Common Stock

                   

Communications Services

       110,722,405          110,722,405                    

Consumer Discretionary

       118,952,915          118,952,915                    

Consumer Staples

       85,176,810          85,176,810                    

Energy

       50,770,378          50,770,378                    

Financials

       145,220,620          145,220,620                    

Health Care

       153,104,588          153,104,588                    

Industrials

       110,540,782          110,540,782                    

Information Technology

       246,036,421          246,036,421                    

Materials

       24,861,951          24,861,951                    

Real Estate

       36,061,072          36,061,072                    

Utilities

       40,187,111          40,187,111                    

Short-Term Investments

       299,233                   299,233           

Subtotal Investments in Securities

       $1,121,934,286          $1,121,635,053          $299,233          $–  
Other Investments *      Total           

Affiliated Short-Term Investments

       1,417,585  

Collateral Held for Securities Loaned

       1,992,495  

Subtotal Other Investments

       $3,410,080  
            

Total Investments at Value

       $1,125,344,366  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments      Total        Level 1        Level 2        Level 3  

Liability Derivatives

                   

Futures Contracts

       16,614          16,614                    

Total Liability Derivatives

       $16,614          $16,614          $–          $–  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

The following table presents Large Cap Index Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $299,233 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
     Expiration
Date
     Notional Principal
Amount
     Value and
Unrealized
 

CME E-mini S&P 500 Index

     16        December 2019        $2,399,414        ($16,614

Total Futures Long Contracts

                       $2,399,414        ($16,614

Total Futures Contracts

                       $2,399,414        ($16,614

 

Reference Description:

CME

  -  

Chicago Mercantile Exchange

S&P

  -  

Standard & Poor’s

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

113


LARGE CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Large Cap Index Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $635        $42,412        $41,629        $1,418        142        0.1%  

Total Affiliated Short-Term Investments

     635                          1,418                 0.1  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     431        25,472        23,911        1,992        1,992        0.2  

Total Collateral Held for Securities Loaned

     431                          1,992                 0.2  

Total Value

     $1,066                          $3,410                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

   $      $             $ 79  

Total Income from Affiliated Investments

                              $ 79  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          39  

Total Affiliated Income from Securities Loaned, Net

                              $ 39  

Total Value

   $      $      $           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

114


LARGE CAP VALUE PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (98.4%)   Value  

 

 

Communications Services (8.8%)

 
19,030  

Alphabet, Inc.a

    $23,197,570  
202,454  

CBS Corporation

    8,173,068  
1,011,070  

Comcast Corporation

    45,579,036  
1,102,944  

Verizon Communications, Inc.

    66,573,700  
 

 

 
  Total     143,523,374  
 

 

 

Consumer Discretionary (5.9%)

 
166,542  

Aptiv plc

    14,559,102  
213,046  

D.R. Horton, Inc.

    11,229,655  
349,237  

Harley-Davidson, Inc.

    12,562,055  
397,710  

Lowe’s Companies, Inc.

    43,732,191  
55,520  

Mohawk Industries, Inc.a

    6,888,366  
137,800  

Sony Corporation ADR

    8,148,114  
 

 

 
  Total     97,119,483  
 

 

 

Consumer Staples (3.4%)

 
86,800  

Kimberly-Clark Corporation

    12,329,940  
364,761  

Wal-Mart Stores, Inc.

    43,289,836  
 

 

 
  Total     55,619,776  
 

 

 

Energy (8.4%)

 
532,227  

BP plc ADRb

    20,219,304  
426,055  

Chevron Corporation

    50,530,123  
23,418  

Enterprise Products Partners, LP

    669,286  
457,950  

Halliburton Company

    8,632,358  
1,398,901  

Marathon Oil Corporation

    17,164,515  
394,000  

Marathon Petroleum Corporation

    23,935,500  
125,570  

Pioneer Natural Resources Company

    15,792,939  
 

 

 
  Total     136,944,025  
 

 

 

Financials (23.9%)

 
365,920  

Aflac, Inc.

    19,144,934  
221,110  

American International Group, Inc.

    12,315,827  
2,095,367  

Bank of America Corporation

    61,121,855  
307,830  

Capital One Financial Corporation

    28,006,373  
112,730  

Chubb, Ltd.

    18,199,131  
809,960  

Citigroup, Inc.

    55,952,037  
135,550  

Comerica, Inc.

    8,944,945  
946,930  

Fifth Third Bancorp

    25,926,943  
35,450  

Goldman Sachs Group, Inc.

    7,346,304  
324,330  

Hartford Financial Services Group, Inc.

    19,657,641  
272,740  

J.P. Morgan Chase & Company

    32,098,771  
320,640  

MetLife, Inc.

    15,121,382  
268,000  

Morgan Stanley

    11,435,560  
104,850  

Prudential Financial, Inc.

    9,431,258  
205,390  

Raymond James Financial, Inc.

    16,936,459  
98,940  

State Street Corporation

    5,856,259  
555,340  

U.S. Bancorp

    30,732,516  
329,010  

Zions Bancorporations NA

    14,647,525  
 

 

 
  Total     392,875,720  
 

 

 

Health Care (15.0%)

 
23,132  

Biogen, Inc.a

    5,385,592  
46,982  

Cigna Holding Company

    7,131,398  
490,227  

CVS Health Corporation

    30,918,617  
462,640  

Gilead Sciences, Inc.

    29,322,123  
298,720  

Johnson & Johnson

    38,648,394  
366,570  

Medtronic plc

    39,816,833  
696,550  

Merck & Company, Inc.

    58,635,579  
498,270  

Pfizer, Inc.

    17,902,841  
84,547  

UnitedHealth Group, Inc.

    18,373,754  
 

 

 
  Total     246,135,131  
 

 

 

Industrials (12.3%)

 
37,060  

Boeing Company

    14,100,218  
Shares   Common Stock (98.4%)   Value  

 

 

Industrials (12.3%) - continued

 
155,130  

CSX Corporation

    $10,745,855  
438,410  

Delta Air Lines, Inc.

    25,252,416  
99,210  

General Dynamics Corporation

    18,128,643  
176,603  

Honeywell International, Inc.

    29,881,227  
139,970  

Ingersoll-Rand plc

    17,245,704  
310,420  

Johnson Controls International plc

    13,624,334  
77,910  

Norfolk Southern Corporation

    13,997,311  
96,570  

Parker Hannifin Corporation

    17,441,508  
300,820  

United Technologies Corporation

    41,067,946  
 

 

 
  Total     201,485,162  
 

 

 

Information Technology (14.5%)

 
93,250  

Apple, Inc.

    20,885,202  
1,650,690  

Cisco Systems, Inc.

    81,560,593  
480,090  

Microsoft Corporation

    66,746,913  
311,310  

Oracle Corporation

    17,131,389  
162,030  

QUALCOMM, Inc.

    12,359,648  
13,461  

Samsung Electronics Company, Ltd. GDR

    13,715,157  
203,299  

Texas Instruments, Inc.

    26,274,363  
 

 

 
  Total     238,673,265  
 

 

 

Materials (3.4%)

 
367,240  

Alcoa Corporationa

    7,370,507  
375,920  

CF Industries Holdings, Inc.

    18,495,264  
293,471  

Eastman Chemical Company

    21,666,964  
155,400  

Nucor Corporation

    7,911,414  
 

 

 
  Total     55,444,149  
 

 

 

Real Estate (0.8%)

 
104,349  

American Campus Communities, Inc.

    5,017,100  
480,060  

Host Hotels & Resorts, Inc.

    8,300,237  
 

 

 
  Total     13,317,337  
 

 

 

Utilities (2.0%)

 
693,384  

Exelon Corporation

    33,497,381  
 

 

 
  Total     33,497,381  
 

 

 
 
 

 

 
  Total Common Stock
(cost $1,143,460,042)
    1,614,634,803  
 

 

 
Shares   Collateral Held for Securities Loaned
(<0.1%)
  Value  

 

 
329,072  

Thrivent Cash Management Trust

    329,072  
 

 

 
  Total Collateral Held for Securities Loaned
(cost $329,072)
    329,072  
 

 

 
Shares   Short-Term Investments (1.7%)   Value  

 

 
 

Thrivent Core Short-Term Reserve Fund

 

2,782,596

          2.230%     27,825,965  
 

 

 
  Total Short-Term Investments (cost $27,825,965)     27,825,965  
 

 

 
  Total Investments (cost $1,171,615,079) 100.1%     $1,642,789,840  
 

 

 
  Other Assets and Liabilities, Net (0.1%)     (1,213,452
 

 

 
  Total Net Assets 100.0%     $1,641,576,388  
 

 

 

 

a

Non-income producing security.

b

All or a portion of the security is on loan.

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

115


LARGE CAP VALUE PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Large Cap Value Portfolio as of September 30, 2019:

 

Securities Lending Transactions

  

Common Stock

   $ 318,508  

 

 

Total lending

   $ 318,508  

Gross amount payable upon return of collateral for

securities loaned

   $ 329,072  

 

 

Net amounts due to counterparty

   $ 10,564  

 

 

 

Definitions:    
ADR   -   American Depositary Receipt, which are certificates for an
    underlying foreign security’s shares held by an issuing U.S.
    depository bank.
GDR   -   Global Depository Receipts, which are certificates for
    shares of an underlying foreign security’s shares held by an
    issuing depository bank from more than one country.
 

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Large Cap Value Portfolio’s assets carried at fair value.

 

Investments in Securities    Total      Level 1      Level 2      Level 3  

Common Stock

           

Communications Services

     143,523,374        143,523,374                                           –  

Consumer Discretionary

     97,119,483        97,119,483                

Consumer Staples

     55,619,776        55,619,776                

Energy

     136,944,025        136,944,025                

Financials

     392,875,720        392,875,720                

Health Care

     246,135,131        246,135,131                

Industrials

     201,485,162        201,485,162                

Information Technology

     238,673,265        224,958,108        13,715,157         

Materials

     55,444,149        55,444,149                

Real Estate

     13,317,337        13,317,337                

Utilities

     33,497,381        33,497,381                

Subtotal Investments in Securities

         $1,614,634,803            $1,600,919,646                $13,715,157        $–  

Other Investments *

     Total     

Affiliated Short-Term Investments

     27,825,965  

Collateral Held for Securities Loaned

     329,072  

Subtotal Other Investments

     $28,155,037  
          

Total Investments at Value

     $1,642,789,840  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Large Cap Value Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $29,615        $61,749        $63,538        $27,826        2,783            1.7%  

Total Affiliated Short-Term Investments

     29,615                          27,826                 1.7  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     2,390        42,421        44,482        329        329            <0.1  

Total Collateral Held for Securities Loaned

     2,390                          329                 <0.1  

Total Value

     $32,005                          $28,155                    

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

116


LARGE CAP VALUE PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Portfolio    Net Realized
Gain/(Loss)
    Change in
Unrealized
Appreciation/
(Depreciation)
    Distributions of
Realized Capital
Gains
   

Income Earned
1/1/2019

- 9/30/2019

 

Affiliated Short-Term Investments

        

Core Short-Term Reserve, 2.230%

     $ –      $ –      –      $766      

Total Income from Affiliated Investments

                             $766      

Collateral Held for Securities Loaned

        

Cash Management Trust- Collateral Investment

     –      –      –      1      

Total Affiliated Income from Securities Loaned, Net

                             $1      

Total Value

     $ –      $ –      $ –         

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

117


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (0.4%)a   Value

 

 

Basic Materials (<0.1%)

 
 

Big River Steel, LLC, Term Loan

 

$73,500

 

7.104%, (LIBOR 3M + 5.000%), 8/23/2023b,c

    $72,765  
 

MRC Global (US), Inc., Term Loan

 

68,947

 

5.044%, (LIBOR 1M + 3.000%), 9/22/2024b

    68,947  
 

 

 
  Total     141,712  
 

 

 

Capital Goods (<0.1%)

 
 

Advanced Disposal Services, Inc., Term Loan

 

136,332

 

4.197%, (LIBOR 1W + 2.250%), 11/10/2023b

    136,691  
 

GFL Environmental, Inc., Term Loan

 

118,797

 

5.044%, (LIBOR 1M + 3.000%), 5/31/2025b

    117,736  
 

 

 
  Total     254,427  
 

 

 

Communications Services (0.1%)

 
 

Frontier Communications Corporation, Term Loan

 

136,850

 

5.800%, (LIBOR 1M + 3.750%), 6/15/2024b

    136,411  
 

Intelsat Jackson Holdings SA, Term Loan

 

95,000

 

5.804%, (LIBOR 1M + 3.750%), 11/27/2023b

    95,208  
 

Liberty Cablevision of Puerto Rico, LLC, Term Loan

 

180,000

 

5.528%, (LIBOR 1M + 3.500%), 1/7/2022b,c

    179,325  
 

TNS, Inc., Term Loan

 

107,521

 

6.260%, (LIBOR 3M + 4.000%), 8/14/2022b

    105,935  
 

WideOpenWest Finance, LLC, Term Loan

 

100,940

 

5.294%, (LIBOR 1M + 3.250%), 8/19/2023b

    97,281  
 

 

 
  Total     614,160  
 

 

 

Consumer Cyclical (<0.1%)

 
 

Cengage Learning, Inc., Term Loan

 

51,055

 

6.294%, (LIBOR 1M + 4.250%), 6/7/2023b

    48,205  
 

Golden Entertainment, Inc., Term Loan

 

183,350

 

5.060%, (LIBOR 1M + 3.000%), 10/20/2024b,c

    183,808  
 

 

 
  Total     232,013  
 

 

 

Consumer Non-Cyclical (0.1%)

 
 

Air Medical Group Holdings, Inc., Term Loan

 

221,063

 

5.307%, (LIBOR 1M + 3.250%), 4/28/2022b

    206,464  

78,600

 

6.294%, (LIBOR 1M + 4.250%), 3/14/2025b

    73,458  
 

Bausch Health Companies, Inc., Term Loan

 

137,809

 

5.039%, (LIBOR 1M + 3.000%), 6/1/2025b

    138,312  
 

Endo International plc, Term Loan

 

162,098

 

6.313%, (LIBOR 1M + 4.250%), 4/27/2024b

    147,256  
Principal
Amount
  Bank Loans (0.4%)a   Value

 

 

Consumer Non-Cyclical (0.1%) - continued

 
 

JBS USA LUX SA, Term Loan

 

$69,650

 

4.544%, (LIBOR 1M + 2.500%), 5/1/2026b

    $69,940  
 

McGraw-Hill Global Education Holdings, LLC, Term Loan

 

187,863

 

6.044%, (LIBOR 1M + 4.000%), 5/4/2022b

    176,287  
 

MPH Acquisition Holdings, LLC, Term Loan

 

119,874

 

4.854%, (LIBOR 3M + 2.750%), 6/7/2023b

    114,005  
 

Plantronics, Inc., Term Loan

 

71,957

 

4.544%, (LIBOR 1M + 2.500%), 7/2/2025b

    71,747  
 

 

 
  Total     997,469  
 

 

 

Energy (0.1%)

 
 

Radiate Holdco, LLC, Term Loan

 

299,622

 

5.044%, (LIBOR 1M + 3.000%), 2/1/2024b

    298,259  
 

 

 
  Total     298,259  
 

 

 

Financials (0.1%)

 
 

GGP Nimbus, LLC, Term Loan

 

113,850

 

4.544%, (LIBOR 1M + 2.500%), 8/24/2025b

    112,214  
 

Harland Clarke Holdings Corporation, Term Loan

 

147,292

 

6.854%, (LIBOR 3M + 4.750%), 11/3/2023b

    114,519  
 

Sable International Finance, Ltd., Term Loan

 

262,400

 

5.294%, (LIBOR 2M + 3.250%), 1/31/2026b

    263,311  
 

 

 
  Total     490,044  
 

 

 

Technology (<0.1%)

 
 

Prime Security Services Borrower, LLC, Term Loan

 

135,000

 

0.000%, (LIBOR 1M + 3.250%), 9/23/2026b,d,e

    133,503  
 

Rackspace Hosting, Inc., Term Loan

 

166,273

 

5.287%, (LIBOR 3M + 3.000%), 11/3/2023b

    152,321  
 

 

 
  Total     285,824  
 

 

 
   
 

 

 
  Total Bank Loans
(cost $3,398,843)
    3,313,908  
 

 

 
Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Asset-Backed Securities (21.4%)

 
 

Ares XXXVII CLO, Ltd.

 

3,400,000

 

3.473%, (LIBOR 3M + 1.170%), 10/15/2030, Ser. 2015-4A, Class A1Rb,f

    3,394,125  
 

ARI Fleet Lease Trust

 

877,328

 

1.910%, 4/15/2026, Ser. 2017-A, Class A2f

    875,661  
 

Ascentium Equipment Receivables, LLC

 

2,250,000

 

3.210%, 9/11/2023, Ser. 2018-1A, Class A3f

    2,274,205  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

118


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Asset-Backed Securities (21.4%) - continued

 
 

Assurant CLO III, Ltd.

 

$4,500,000

 

3.508%, (LIBOR 3M + 1.230%), 10/20/2031, Ser. 2018-2A, Class Ab,f

    $4,493,034  
 

Axis Equipment Finance Receivables Trust

 

2,000,000

 

2.630%, 6/20/2024, Ser. 2019-1A, Class A2f

    2,007,304  
 

Bank of the West Auto Trust

 

2,290,105

 

2.110%, 1/15/2023, Ser. 2017-1, Class A3f

    2,288,375  
 

BCC Funding XIV, LLC

 

1,468,765

 

2.960%, 6/20/2023, Ser. 2018-1A, Class A2f

    1,476,172  
 

Benefit Street Partners CLO IV, Ltd.

 

4,800,000

 

3.528%, (LIBOR 3M + 1.250%), 1/20/2029, Ser. 2014-IVA, Class A1RRb,f

    4,800,734  
 

Betony CLO, Ltd.

 

3,425,000

 

3.346%, (LIBOR 3M + 1.080%), 4/30/2031, Ser. 2018-1A, Class A1b,f

    3,393,798  
 

BlueMountain CLO, Ltd.

 

3,000,000

 

3.508%, (LIBOR 3M + 1.230%), 1/20/2029, Ser. 2013-1A, Class A1R2b,f

    3,001,461  
 

Brazos Higher Education Authority, Inc.

 

3,661,420

 

2.932%, (LIBOR 3M + 0.800%), 2/25/2030, Ser. 2011-1, Class A2b

    3,656,436  
 

Business Jet Securities, LLC

 

705,360

 

4.335%, 2/15/2033, Ser. 2018-1, Class Af

    712,266  
 

Canadian Pacer Auto Receivables Trust

 

922,348

 

2.050%, 3/19/2021, Ser. 2017-1A, Class A3f

    921,942  
 

Carvana Auto Receivables Trust

 

5,000,000

 

2.214%, 10/15/2020, Ser. 2019-3A, Class A1f

    5,000,777  
 

CBAM, Ltd.

 

5,000,000

 

4.008%, (LIBOR 3M + 1.280%), 2/12/2030, Ser. 2019-9A, Class Ab,f

    5,004,425  
 

CCG Receivables Trust

 

1,516,415

 

2.500%, 6/16/2025, Ser. 2018-1, Class A2f

    1,519,547  
 

Cedar Funding VI CLO, Ltd.

 

6,000,000

 

3.368%, (LIBOR 3M + 1.090%), 10/20/2028, Ser. 2016-6A, Class ARb,f

    5,996,460  
 

Chesapeake Funding II, LLC

 

345,831

 

1.880%, 6/15/2028, Ser. 2016-2A, Class A1f

    345,688  
 

Commonbond Student Loan Trust

 

213,885

 

3.200%, 6/25/2032, Ser. 2015-A, Class Af

    214,267  

1,223,693

 

2.550%, 5/25/2041, Ser. 2017-AGS, Class A1f

    1,229,387  

2,788,074

 

2.518%, (LIBOR 1M + 0.500%), 2/25/2044, Ser. 2018-AGS, Class A2b,f

    2,729,781  
Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Asset-Backed Securities (21.4%) - continued

 
 

CoreVest American Finance Trust

 

$2,226,186

 

3.804%, 6/15/2051, Ser. 2018-1, Class Af

    $2,299,893  
 

Credit Acceptance Auto Loan Trust

 

2,200,000

 

3.470%, 5/17/2027, Ser. 2018-2A, Class Af

    2,231,902  
 

Deephaven Residential Mortgage Trust

 

2,582,650

 

4.080%, 10/25/2058, Ser. 2018-4A, Class A1b,f

    2,608,655  
 

DRB Prime Student Loan Trust

 

871,446

 

3.918%, (LIBOR 1M + 1.900%), 10/27/2031, Ser. 2015-B, Class A1b,f

    883,898  
 

Earnest Student Loan Program, LLC

 

1,499,376

 

2.650%, 1/25/2041, Ser. 2017-A, Class A2f

    1,504,012  
 

Edlinc Student Loan Funding Trust

 

390,542

 

5.502%, (CMT 3M + 3.150%), 10/1/2025, Ser. 2012-A, Class ATb,f

    390,949  
 

Fifth Third Auto Trust

 

822,827

 

1.800%, 2/15/2022, Ser. 2017-1, Class A3

    821,639  
 

Finance of America Structured Securities Trust

 

1,775,233

 

3.375%, 9/25/2028, Ser. 2018-HB1, Class Ab,f

    1,778,900  
 

Garrison BSL CLO, Ltd.

 

5,000,000

 

3.273%, (LIBOR 3M + 0.970%), 7/17/2028, Ser. 2018-1A, Class A1b,f

    4,952,070  
 

GM Financial Automobile Leasing Trust

 

6,500,000

 

3.080%, 12/20/2022, Ser. 2019-1, Class A4

    6,607,355  
 

Golden Credit Card Trust

 

5,000,000

 

1.980%, 4/15/2022, Ser. 2017-2A, Class Af

    4,995,125  
 

GoldenTree Loan Opportunities, Ltd.

 

3,000,000

 

3.556%, (LIBOR 3M + 1.300%), 10/29/2029, Ser. 2014-9A, Class AJR2b,f

    2,962,908  
 

Golub Capital Partners, Ltd.

 

6,000,000

 

3.428%, (LIBOR 3M + 1.150%), 10/20/2028, Ser. 2018-39A, Class A1b,f

    5,999,916  
 

GreatAmerica Leasing Receivables Funding, LLC

 

319,425

 

2.060%, 6/22/2020, Ser. 2017-1, Class A3f

    319,313  
 

Invitation Homes Trust

 

4,359,499

 

3.125%, (LIBOR 1M + 1.100%), 1/17/2038, Ser. 2018-SFR4, Class Ab,f

    4,369,729  
 

Kubota Credit Owner Trust

 

91,320

 

1.500%, 7/15/2020, Ser. 2016-1A, Class A3f

    91,289  
 

Lendmark Funding Trust

 

1,250,000

 

2.800%, 5/20/2026, Ser. 2017-2A, Class Af

    1,249,526  
 

Marlette Funding Trust

 

1,963,186

 

3.200%, 9/15/2028, Ser. 2018-3A, Class Af

    1,968,229  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

119


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Asset-Backed Securities (21.4%) - continued

  
      $3,215,509     

3.440%, 4/16/2029, Ser. 2019-1A, Class Af

   $ 3,238,646  
  

National Collegiate Trust

  
  1,577,065     

2.313%, (LIBOR 1M + 0.295%), 5/25/2031, Ser. 2007-A, Class Ab,f

     1,532,190  
  

Navient Private Education Loan Trust

  
  3,516,284     

2.820%, 2/15/2068, Ser. 2019-CA, Class A1f

     3,547,941  
  

Navient Student Loan Trust

  
  2,800,000     

2.618%, (LIBOR 1M + 0.600%), 7/26/2066, Ser. 2017-3A, Class A2b,f

     2,806,702  
  2,953,708     

2.768%, (LIBOR 1M + 0.750%), 7/26/2066, Ser. 2017-1A, Class A2b,f

     2,957,876  
  

NCUA Guaranteed Notes

  
  745,485     

2.399%, (LIBOR 1M + 0.350%), 12/7/2020, Ser. 2010-A1, Class Ab

     745,072  
  

Neuberger Berman CLO, Ltd.

  
  3,000,000     

3.458%, (LIBOR 3M + 1.180%), 4/22/2029, Ser. 2014-17A, Class ARb,f

     2,996,520  
  

NextGear Floorplan Master Owner Trust

  
  4,000,000     

2.560%, 10/17/2022, Ser. 2017-2A, Class A2f

     4,015,981  
  

Northstar Education Finance, Inc.

  
  1,046,555     

2.718%, (LIBOR 1M + 0.700%), 12/26/2031, Ser. 2012-1, Class Ab,f

     1,039,897  
  

NRZ Excess Spread-Collateralized Notes Series

  
  2,032,774     

3.193%, 1/25/2023, Ser. 2018-PLS1, Class Af

     2,042,670  
  

OZLM VIII, Ltd.

  
  3,500,000     

3.473%, (LIBOR 3M + 1.170%), 10/17/2029, Ser. 2014-8A, Class A1RRb,f

     3,496,350  
  

PFS Financing Corporation

  
  3,200,000     

2.428%, (LIBOR 1M + 0.400%), 2/17/2022, Ser. 2018-A, Class Ab,f

     3,200,581  
  

Pretium Mortgage Credit Partners, LLC

  
  2,953,329     

3.721%, 1/25/2059, Ser. 2019-CFL1, Class A1f,g

     2,946,987  
  1,959,224     

4.826%, 9/25/2058, Ser. 2018-NPL4, Class A1f,g

     1,969,930  
  

Progress Residential Trust

  
  3,000,000     

3.422%, 8/17/2035, Ser. 2019-SFR1, Class Af

     3,085,612  
  

Prosper Marketplace Issuance Trust

  
  1,692,996     

3.350%, 10/15/2024, Ser. 2018-2A, Class Af

     1,697,711  
  

Race Point IX CLO, Ltd.

  
  1,375,000     

3.513%, (LIBOR 3M + 1.210%), 10/15/2030, Ser. 2015-9A, Class A1ARb,f

     1,374,985  
  

RCO Mortgage, LLC

  
  5,603,498     

4.458%, 10/25/2023, Ser. 2018-2, Class A1f,g

     5,642,856  
Principal
Amount
     Long-Term Fixed Income (94.6%)    Value  

 

 

 
 

Asset-Backed Securities (21.4%) - continued

  
  

Santander Drive Auto Receivables Trust

  
      $4,066,237     

2.208%, 8/17/2020, Ser. 2019-3, Class A1

   $ 4,066,468  
  

Santander Retail Auto Lease Trust

  
  2,366,848     

2.220%, 1/20/2021, Ser. 2017-A, Class A3f

     2,366,861  
  

Securitized Term Auto Receivables Trust

  
  182,313     

1.890%, 8/25/2020, Ser. 2017-1A, Class A3f

     182,252  
  

SLM Student Loan Trust

  
  2,966,926     

2.418%, (LIBOR 1M + 0.400%), 3/25/2025, Ser. 2010-1, Class Ab

     2,878,078  
  700,616     

2.538%, (LIBOR 1M + 0.520%), 3/25/2026, Ser. 2011-1, Class A1b

     701,350  
  

Small Business Lending Trust

  
  1,500,000     

2.850%, 7/15/2026, Ser. 2019-A, Class Af

     1,498,078  
  

SoFi Consumer Loan Program 2018- 3 Trust

  
  1,436,445     

3.200%, 8/25/2027, Ser. 2018-3, Class A1f

     1,440,678  
  

SoFi Consumer Loan Program Trust

  
  551,696     

2.930%, 4/26/2027, Ser. 2018-2, Class A1f

     552,193  
  3,967,437     

3.010%, 4/25/2028, Ser. 2019-2, Class Af

     3,996,645  
  

SoFi Consumer Loan Program, LLC

  
  803,958     

2.770%, 5/25/2026, Ser. 2017-3, Class Af

     806,405  
  

SoFi Professional Loan Program, LLC

  
  506,231     

2.420%, 3/25/2030, Ser. 2015-A, Class A2f

     506,251  
  680,513     

2.510%, 8/25/2033, Ser. 2015-C, Class A2f

     684,579  
  374,015     

2.868%, (LIBOR 1M + 0.850%), 7/25/2039, Ser. 2016-E, Class A1b,f

     375,199  
  

Sound Point CLO XX, Ltd.

  
  4,000,000     

3.367%, (LIBOR 3M + 1.100%), 7/26/2031, Ser. 2018-2A, Class Ab,f

     3,964,088  
  

Springleaf Funding Trust

  
  1,295,537     

2.900%, 11/15/2029, Ser. 2016-AA, Class Af

     1,295,731  
  

Synchrony Credit Card Master Note Trust

  
  1,500,000     

3.470%, 5/15/2026, Ser. 2018-2, Class A

     1,570,009  
  

Tesla Auto Lease Trust

  
  1,978,932     

3.710%, 8/20/2021, Ser. 2018-B, Class Af

     2,010,779  
  

Upstart Securitization Trust

  
  641,550     

3.330%, 12/22/2025, Ser. 2018-2, Class Af

     641,999  
  2,204,207     

3.450%, 4/20/2026, Ser. 2019-1, Class Af

     2,208,757  
  3,841,342     

2.897%, 9/20/2029, Ser. 2019-2, Class Af

     3,849,478  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

120


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Asset-Backed Securities (21.4%) - continued

 
 

Vericrest Opportunity Loan Transferee

 

$1,973,441

 

4.213%, 8/25/2048, Ser. 2018-NPL5, Class A1Af,g

    $1,978,567  

2,968,323

 

3.352%, 9/25/2049, Ser. 2019-NPL5, Class A1Af,g

    2,977,555  
 

Vericrest Opportunity Loan Trust

 

3,755,080

 

4.458%, 10/25/2048, Ser. 2018-NPL9, Class A1Af,g

    3,773,875  
 

Verizon Owner Trust

 

5,500,000

 

2.060%, 4/20/2022, Ser. 2017-3A, Class A1Af

    5,498,761  
 

Wheels SPV 2, LLC

 

659,920

 

1.880%, 4/20/2026, Ser. 2017-1A, Class A2f

    659,383  
 

 

 
  Total     200,193,679  
 

 

 

Basic Materials (1.2%)

 
 

ArcelorMittal

 

1,500,000

 

4.550%, 3/11/2026

    1,569,403  
 

Dow Chemical Company

 

1,500,000

 

3.150%, 5/15/2024f

    1,540,444  
 

DowDuPont, Inc.

 

2,000,000

 

4.205%, 11/15/2023

    2,144,491  
 

Georgia-Pacific, LLC

 

2,005,000

 

2.539%, 11/15/2019f

    2,005,343  
 

Glencore Funding, LLC

 

1,500,000

 

3.000%, 10/27/2022f

    1,511,310  
 

Kinross Gold Corporation

 

1,000,000

 

5.950%, 3/15/2024

    1,113,050  
 

Syngenta Finance NV

 

1,000,000

 

4.892%, 4/24/2025f

    1,059,178  
 

 

 
  Total     10,943,219  
 

 

 

Capital Goods (1.2%)

 
 

Lockheed Martin Corporation

 

1,000,000

 

2.500%, 11/23/2020

    1,004,386  
 

Northrop Grumman Corporation

 

2,000,000

 

2.550%, 10/15/2022

    2,027,841  
 

Republic Services, Inc.

 

1,250,000

 

2.500%, 8/15/2024

    1,263,769  
 

Roper Technologies, Inc.

 

500,000

 

2.800%, 12/15/2021

    508,008  

1,250,000

 

3.650%, 9/15/2023

    1,312,310  

750,000

 

2.350%, 9/15/2024

    750,212  
 

Siemens Financieringsmaatschappij NV

 

2,000,000

 

2.729%, (LIBOR 3M + 0.610%), 3/16/2022b,f

    2,016,699  
 

Textron, Inc.

 

2,000,000

 

3.875%, 3/1/2025

    2,111,400  
 

Waste Management, Inc.

 

750,000

 

2.950%, 6/15/2024

    775,508  
 

 

 
  Total     11,770,133  
 

 

 

Collateralized Mortgage Obligations (15.7%)

 
 

Ajax Mortgage Loan Trust

 

4,803,772

 

2.956%, 9/25/2065, Ser. 2019-D, Class A1f

    4,787,560  
 

Angel Oak Mortgage Trust I, LLC

 

3,056,246

 

3.258%, 4/27/2048, Ser. 2018-1, Class A1b,f

    3,064,062  

2,897,046

 

3.674%, 7/27/2048, Ser. 2018-2, Class A1b,f

    2,923,777  
Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Collateralized Mortgage Obligations (15.7%) - continued

 

$2,210,290

 

3.628%, 3/25/2049, Ser. 2019-2, Class A1b,f

    $2,241,175  
 

Antler Mortgage Trust

 

2,500,000

 

4.458%, 6/27/2022, Ser. 2019-RTL1, Class A1f

    2,533,877  

3,250,000

 

4.335%, 7/25/2022, Ser. 2018-RTL1, Class A1f

    3,268,101  
 

Banc of America Funding Trust

 

1,706,252

 

5.750%, 3/25/2036, Ser. 2006-3, Class 3A1

    1,770,806  
 

Bear Stearns Adjustable Rate Mortgage Trust

 

304,417

 

4.270%, (CMT 1Y + 2.300%), 10/25/2035, Ser. 2005-9, Class A1b

    312,635  

820,795

 

4.753%, 10/25/2036, Ser. 2006-4, Class 1A1b

    805,483  
 

Bellemeade Re, Ltd.

 

1,539,903

 

2.968%, (LIBOR 1M + 0.950%), 8/25/2028, Ser. 2018-2A, Class M1Ab,f

    1,540,355  
 

BRAVO Residential Funding Trust

 

2,278,513

 

3.500%, 3/25/2058, Ser. 2019-1, Class A1Cf

    2,322,588  
 

Cascade Funding Mortgage Trust

 

2,714,798

 

4.000%, 10/25/2068, Ser. 2018-RM2, Class Ab,f

    2,805,337  
 

Civic Mortgage, LLC

 

2,799,237

 

4.349%, 11/25/2022, Ser. 2018-2, Class A1f,g

    2,804,416  
 

COLT Funding, LLC

 

731,220

 

3.470%, 7/27/2048, Ser. 2018-2, Class A1b,f

    733,714  

2,781,292

 

2.764%, 8/25/2049, Ser. 2019-3, Class A1b,f

    2,795,481  
 

Countrywide Alternative Loan Trust

 

297,643

 

5.500%, 11/25/2035, Ser. 2005-49CB, Class A1

    291,895  

313,756

 

5.500%, 2/25/2036, Ser. 2005-85CB, Class 2A2

    303,614  

573,932

 

6.000%, 1/25/2037, Ser. 2006-39CB, Class 1A16

    572,592  
 

Countrywide Home Loans, Inc.

 

745,635

 

3.841%, 9/20/2036, Ser. 2006-HYB5, Class 2A1b

    652,080  
 

Credit Suisse Mortgage Capital Certificates

 

5,000,000

 

3.008%, (LIBOR 1M + 0.980%), 5/15/2036, Ser. 2019-ICE4, Class Ab,f

    4,999,992  

4,982,529

 

3.322%, 10/25/2058, Ser. 2019-RPL8, Class A1b,f

    5,003,628  
 

Eagle RE 2019-1, Ltd.

 

3,500,000

 

3.268%, (LIBOR 1M + 1.250%), 4/25/2029, Ser. 2019-1, Class M1Ab,f

    3,499,086  
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

306,691

 

2.250%, 6/25/2025, Ser. 2010-58, Class PT

    306,250  
 

FWD Securitization Trust

 

3,826,528

 

2.810%, 6/25/2049, Ser. 2019-INV1, Class A1b,f

    3,841,600  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

121


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Collateralized Mortgage Obligations (15.7%) - continued

 
 

GCAT Trust

 

$4,221,535

 

2.985%, 2/25/2059, Ser. 2019-NQM1, Class A1f,g

    $4,231,336  
 

GMAC Mortgage Corporation Loan Trust

 

74,283

 

2.518%, (LIBOR 1M + 0.500%), 8/25/2035, Ser. 2005-HE1, Class A2b,h

    88,139  

344,589

 

5.750%, 10/25/2036, Ser. 2006-HE3, Class A2b

    363,532  
 

GS Mortgage-Backed Securities Trust

 

3,187,832

 

3.750%, 10/25/2057, Ser. 2018-RPL1, Class A1Af

    3,317,325  

1,412,609

 

2.625%, 1/25/2059, Ser. 2019-SL1, Class A1b,f

    1,403,472  
 

GSAA Home Equity Trust

 

844,141

 

4.485%, 8/25/2034, Ser. 2004-10, Class M2g

    880,955  
 

Homeward Opportunities Fund I Trust

 

5,472,948

 

3.454%, 1/25/2059, Ser. 2019-1, Class A1b,f

    5,515,341  
 

Homeward Opportunities Fund Trust

 

2,781,510

 

3.766%, 6/25/2048, Ser. 2018-1, Class A1b,f

    2,809,222  
 

J.P. Morgan Alternative Loan Trust

 

1,205,652

 

4.330%, 3/25/2036, Ser. 2006-A1, Class 2A1b

    1,143,235  
 

Legacy Mortgage Asset Trust

 

3,984,543

 

4.000%, 1/25/2059, Ser. 2019-GS1, Class A1f

    4,032,321  
 

Master Asset Securitization Trust

 

934,404

 

2.518%, (LIBOR 1M + 0.500%), 6/25/2036, Ser. 2006-2, Class 2A2b

    392,025  
 

Merrill Lynch Mortgage Investors Trust

 

263,845

 

3.203%, (LIBOR 1M + 1.185%), 7/25/2035, Ser. 2004-WMC5, Class M3b

    264,241  
 

Mortgage Equity Conversion Asset Trust

 

3,144,503

 

2.300%, (CMT 1Y + 0.490%), 1/25/2042, Ser. 2007-FF1, Class Ab,f

    2,881,081  

3,064,895

 

2.400%, (CMT 1Y + 0.470%), 2/25/2042, Ser. 2007-FF2, Class Ab,f

    2,847,593  
 

New Residential Mortgage, LLC

 

2,888,824

 

3.790%, 7/25/2054, Ser. 2018-FNT2, Class Af

    2,937,069  
 

Preston Ridge Partners Mortgage Trust, LLC

 

1,286,942

 

4.500%, 1/25/2024, Ser. 2019-1A, Class A1f,g

    1,296,036  

2,302,094

 

3.967%, 4/25/2024, Ser. 2019-2A, Class A1f,g

    2,325,427  
 

Radnor RE, Ltd.

 

2,331,107

 

3.418%, (LIBOR 1M + 1.400%), 3/25/2028, Ser. 2018-1, Class M1b,f

    2,334,282  

2,250,000

 

3.268%, (LIBOR 1M + 1.250%), 2/25/2029, Ser. 2019-1, Class M1Ab,f

    2,249,390  
Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Collateralized Mortgage Obligations (15.7%) - continued

 
 

RCO Mortgage, LLC

 

$3,565,738

 

4.270%, 12/26/2053, Ser. 2018-VFS1, Class A1b,f

    $3,636,719  
 

Renaissance Home Equity Loan Trust

 

1,143,810

 

5.285%, 1/25/2037, Ser. 2006-4, Class AF2g

    588,615  
 

Residential Asset Securitization Trust

 

603,510

 

5.750%, 2/25/2036, Ser. 2005-A15, Class 5A1

    413,013  
 

Residential Funding Mortgage Security I Trust

 

511,281

 

5.500%, 10/25/2021, Ser. 2006-S10, Class 2A1

    486,893  
 

Specialty Underwriting and Residential Finance Trust

 

3,069,670

 

3.018%, (LIBOR 1M + 1.000%), 7/25/2035, Ser. 2004-BC3, Class A2Cb

    3,060,730  

3,539,027

 

2.998%, (LIBOR 1M + 0.980%), 10/25/2035, Ser. 2004-BC4, Class A2Cb

    3,540,683  
 

Stadshypotek AB

 

2,000,000

 

1.875%, 10/2/2019f

    2,000,000  
 

Stanwich Mortgage Loan Trust

 

1,597,382

 

4.500%, 10/18/2023, Ser. 2018-NPB2, Class A1f

    1,608,891  
 

Starwood Mortgage Residential Trust

 

3,167,991

 

4.121%, 10/25/2048, Ser. 2018-IMC2, Class A1b,f

    3,228,095  
 

Structured Asset Securities Corporation Trust

 

538,314

 

5.500%, 12/25/2034, Ser. 2005-10, Class 3A1

    537,180  
 

Terwin Mortgage Trust

 

1,402,919

 

3.018%, (LIBOR 1M + 1.000%), 12/25/2034, Ser. 2004-21HE, Class 2M2b,f

    1,409,375  
 

Toorak Mortgage Corporation

 

2,500,000

 

4.375%, 8/25/2021, Ser. 2018-1, Class A1f,g

    2,525,606  

3,000,000

 

4.458%, 3/25/2022, Ser. 2019-1, Class A1f,g

    3,048,218  
 

Vericrest Opportunity Loan Transferee

 

2,324,807

 

4.115%, 9/25/2048, Ser. 2018-NPL6, Class A1Af,g

    2,331,547  
 

Vericrest Opportunity Loan Trust

 

1,297,434

 

3.750%, 4/25/2048, Ser. 2018-NPL1, Class A1f,g

    1,299,505  

3,017,596

 

3.967%, 3/25/2049, Ser. 2019-NPL3, Class A1f,g

    3,034,458  

1,447,349

 

3.352%, 8/25/2049, Ser. 2019-NPL4, Class A1Af,g

    1,449,942  
 

Vericrest Opportunity Loan Trust LXXI, LLC

 

1,462,279

 

3.967%, 9/25/2048, Ser. 2018-NPL7, Class A1Af,g

    1,469,320  
 

Verus Securitization Trust

 

3,714,356

 

3.836%, 2/25/2059, Ser. 2019-1, Class A1b,f

    3,755,274  

3,578,346

 

3.211%, 4/25/2059, Ser. 2019-2, Class A1b,f

    3,597,955  

3,903,891

 

2.913%, 7/25/2059, Ser. 2019-INV2, Class A1b,f

    3,914,333  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

122


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Collateralized Mortgage Obligations (15.7%) - continued

 

 

Wachovia Asset Securitization, Inc.

 

$454,466

 

2.158%, (LIBOR 1M + 0.140%), 7/25/2037, Ser. 2007-HE1, Class Ab,f,h

    $426,335  
 

Wachovia Mortgage Loan Trust, LLC

 

279,669

 

4.848%, 5/20/2036, Ser. 2006-A, Class 2A1b

    276,905  
 

WaMu Mortgage Pass Through Certificates

 

2,127,747

 

3.326%, (12 MTA + 0.880%), 10/25/2046, Ser. 2006-AR13, Class 1Ab

    2,016,530  

1,251,447

 

3.186%, (12 MTA + 0.740%), 1/25/2047, Ser. 2006-AR19, Class 1Ab

    1,214,705  
 

Wells Fargo Mortgage Backed Securities Trust

 

533,130

 

5.500%, 8/25/2035, Ser. 2005-6, Class A12

    550,659  

305,894

 

5.005%, 3/25/2036, Ser. 2006-AR2, Class 2A1b

    314,306  
 

 

 
  Total     147,227,918  
 

 

 

Commercial Mortgage-Backed Securities (0.4%)

 
 

Federal National Mortgage Association - ACES

 

2,293,631

 

3.560%, 9/25/2021, Ser. 2018-M5, Class A2b

    2,336,153  
 

GSAA Home Equity Trust

 

1,025,868

 

3.968%, (LIBOR 1M + 1.950%), 5/25/2034, Ser. 2004-4, Class M2b

    1,059,279  
 

 

 
  Total     3,395,432  
 

 

 

Communications Services (1.8%)

 
 

American Tower Corporation

 

2,200,000

 

3.450%, 9/15/2021

    2,250,738  

1,500,000

 

3.375%, 5/15/2024

    1,560,508  
 

AT&T, Inc.

 

1,000,000

 

3.200%, 3/1/2022

    1,024,420  

2,000,000

 

3.065%, (LIBOR 3M + 0.890%), 2/15/2023b

    2,003,272  
 

Charter Communications Operating, LLC

 

1,000,000

 

3.579%, 7/23/2020

    1,008,948  

1,000,000

 

4.500%, 2/1/2024

    1,074,425  
 

Cox Communications, Inc.

 

1,500,000

 

3.150%, 8/15/2024f

    1,536,317  
 

Crown Castle International Corporation

 

250,000

 

3.400%, 2/15/2021

    253,422  

1,000,000

 

2.250%, 9/1/2021

    1,000,790  

1,000,000

 

3.200%, 9/1/2024

    1,030,552  
 

Discovery Communications, LLC

 

2,000,000

 

2.950%, 3/20/2023

    2,032,205  
 

Fox Corporation

 

1,000,000

 

3.666%, 1/25/2022f

    1,032,532  
 

Omnicom Group, Inc.

 

1,242,000

 

3.625%, 5/1/2022

    1,287,804  
 

 

 
  Total     17,095,933  
 

 

 

Consumer Cyclical (1.6%)

 
 

Alibaba Group Holding, Ltd.

 

500,000

 

2.800%, 6/6/2023

    507,432  
Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Consumer Cyclical (1.6%) - continued

 
 

BMW U.S. Capital, LLC

 

$2,000,000

 

3.150%, 4/18/2024f

    $2,072,052  
 

Daimler Finance North America, LLC

 

2,000,000

 

2.817%, (LIBOR 3M + 0.530%), 5/5/2020b,f

    2,002,950  

1,000,000

 

3.127%, (LIBOR 3M + 0.840%), 5/4/2023b,f

    1,000,506  
 

Ford Motor Credit Company, LLC

 

1,000,000

 

3.393%, (LIBOR 3M + 1.235%), 2/15/2023b

    969,580  
 

Home Depot, Inc.

 

1,900,000

 

4.400%, 4/1/2021

    1,962,230  
 

Hyundai Capital Services, Inc.

 

1,000,000

 

3.000%, 3/6/2022f

    1,008,387  

1,500,000

 

3.000%, 8/29/2022f

    1,513,414  
 

Ralph Lauren Corporation

 

275,000

 

2.625%, 8/18/2020

    276,737  
 

Volkswagen Group of America Finance, LLC

 

2,000,000

 

4.250%, 11/13/2023f

    2,131,007  

1,500,000

 

2.850%, 9/26/2024f

    1,507,946  
 

 

 
  Total     14,952,241  
 

 

 

Consumer Non-Cyclical (4.3%)

 
 

Abbott Laboratories

 

1,263,000

 

2.550%, 3/15/2022

    1,276,139  
 

Actavis Funding SCS

 

2,000,000

 

3.850%, 6/15/2024

    2,110,514  
 

Altria Group, Inc.

 

2,000,000

 

3.800%, 2/14/2024

    2,090,932  
 

Anheuser-Busch InBev Finance, Inc.

 

1,272,000

 

3.300%, 2/1/2023

    1,322,309  
 

Bayer U.S. Finance, LLC

 

1,250,000

 

2.375%, 10/8/2019f

    1,249,990  

2,000,000

 

3.129%, (LIBOR 3M + 1.010%), 12/15/2023b,f

    2,001,218  
 

Becton, Dickinson and Company

 

750,000

 

2.979%, (LIBOR 3M + 0.875%), 12/29/2020b

    750,251  

2,050,000

 

3.125%, 11/8/2021

    2,084,670  
 

Cargill, Inc.

 

1,000,000

 

3.250%, 3/1/2023f

    1,036,956  
 

Celgene Corporation

 

2,000,000

 

3.625%, 5/15/2024

    2,112,193  
 

Church & Dwight Company, Inc.

 

1,345,000

 

2.450%, 12/15/2019

    1,344,731  
 

CK Hutchison International, Ltd.

 

2,000,000

 

2.750%, 3/29/2023f

    2,019,052  
 

Conagra Brands, Inc.

 

1,750,000

 

4.300%, 5/1/2024

    1,877,928  
 

Constellation Brands, Inc.

 

1,000,000

 

2.700%, 5/9/2022

    1,012,642  

500,000

 

3.200%, 2/15/2023

    515,329  
 

CVS Health Corporation

 

1,750,000

 

3.700%, 3/9/2023

    1,821,446  

1,000,000

 

4.000%, 12/5/2023

    1,056,803  

1,000,000

 

4.100%, 3/25/2025

    1,067,796  
 

General Mills, Inc.

 

1,500,000

 

3.313%, (LIBOR 3M + 1.010%), 10/17/2023b

    1,510,825  
 

Imperial Brands Finance plc

 

1,750,000

 

3.125%, 7/26/2024f

    1,753,720  
 

Imperial Tobacco Finance plc

 

1,500,000

 

3.750%, 7/21/2022f

    1,544,257  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

123


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Consumer Non-Cyclical (4.3%) - continued

 
 

Laboratory Corporation of America Holdings

 

$1,485,000

 

2.625%, 2/1/2020

    $1,486,026  
 

Mead Johnson Nutrition Company

 

1,000,000

 

3.000%, 11/15/2020

    1,008,659  
 

Smithfield Foods, Inc.

 

2,000,000

 

2.650%, 10/3/2021f

    1,980,780  
 

UnitedHealth Group, Inc.

 

1,000,000

 

3.500%, 2/15/2024

    1,052,316  
 

Zimmer Biomet Holdings, Inc.

 

1,500,000

 

2.914%, (LIBOR 3M + 0.750%), 3/19/2021b

    1,500,026  
 

Zoetis, Inc.

 

1,450,000

 

3.250%, 2/1/2023

    1,488,453  
 

 

 
  Total     40,075,961  
 

 

 

Energy (2.7%)

 
 

BP Capital Markets America, Inc.

 

1,500,000

 

2.814%, (LIBOR 3M + 0.650%), 9/19/2022b

    1,504,223  

1,000,000

 

3.790%, 2/6/2024

    1,064,044  
 

Encana Corporation

 

1,000,000

 

3.900%, 11/15/2021

    1,024,409  
 

Energy Transfer Operating, LP

 

1,660,000

 

4.200%, 9/15/2023

    1,746,404  
 

EOG Resources, Inc.

 

1,025,000

 

2.625%, 3/15/2023

    1,044,838  
 

EQM Midstream Partners LP

 

1,500,000

 

4.750%, 7/15/2023

    1,505,648  
 

Exxon Mobil Corporation

 

1,785,000

 

2.482%, (LIBOR 3M + 0.370%), 3/6/2022b

    1,792,727  
 

Hess Corporation

 

2,000,000

 

3.500%, 7/15/2024

    2,041,270  
 

Marathon Oil Corporation

 

1,000,000

 

2.800%, 11/1/2022

    1,006,242  
 

Marathon Petroleum Corporation

 

1,325,000

 

3.400%, 12/15/2020

    1,339,597  
 

MPLX, LP

 

500,000

 

3.500%, 12/1/2022f

    514,210  

1,500,000

 

4.875%, 6/1/2025

    1,650,347  
 

Newfield Exploration Company

 

1,000,000

 

5.750%, 1/30/2022

    1,068,126  
 

ONEOK, Inc.

 

1,000,000

 

2.750%, 9/1/2024

    1,005,173  
 

Petroleos Mexicanos

 

1,311,000

 

2.378%, 4/15/2025

    1,326,963  
 

Plains All American Pipeline, LP

 

2,000,000

 

3.850%, 10/15/2023

    2,071,737  
 

Schlumberger Holdings Corporation

 

1,500,000

 

3.750%, 5/1/2024f

    1,579,868  
 

Transcontinental Gas Pipe Line Company, LLC

 

600,000

 

7.850%, 2/1/2026

    759,675  
 

Williams Partners, LP

 

1,325,000

 

3.600%, 3/15/2022

    1,361,055  
 

 

 
  Total     25,406,556  
 

 

 

Financials (12.8%)

 
 

ABN AMRO Bank NV

 

1,900,000

 

2.450%, 6/4/2020f

    1,902,185  
 

AerCap Ireland Capital Designated Activity Company and AerCap Global Aviation Trust

 

1,000,000

 

3.300%, 1/23/2023

    1,019,816  
Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Financials (12.8%) - continued

 
 

American Express Credit Corporation

 

$850,000

 

3.169%, (LIBOR 3M + 1.050%), 9/14/2020b

    $856,660  
 

American International Group, Inc.

 

1,150,000

 

3.300%, 3/1/2021

    1,168,075  
 

Ares Capital Corporation

 

1,250,000

 

3.875%, 1/15/2020

    1,253,331  
 

Athene Global Funding

 

2,000,000

 

3.562%, (LIBOR 3M + 1.230%), 7/1/2022b,f

    2,023,456  
 

Banco Santander SA

 

800,000

 

3.460%, (LIBOR 3M + 1.120%), 4/12/2023b

    800,736  
 

Bank of America Corporation

 

500,000

 

2.816%, 7/21/2023b

    506,941  

1,000,000

 

3.458%, 3/15/2025b

    1,043,378  

1,100,000

 

6.100%, 3/17/2025b,i

    1,201,750  
 

Bank of Montreal

 

1,500,000

 

3.300%, 2/5/2024

    1,561,039  
 

Bank of New York Mellon Corporation

 

675,000

 

4.500%, 6/20/2023b,i

    672,469  
 

Barclays plc

 

1,250,000

 

3.250%, 1/12/2021

    1,259,055  

1,000,000

 

3.684%, 1/10/2023

    1,017,005  

2,000,000

 

3.548%, (LIBOR 3M + 1.380%), 5/16/2024b

    1,989,913  
 

BPCE SA

 

1,000,000

 

3.370%, (LIBOR 3M + 1.220%), 5/22/2022b,f

    1,011,619  
 

Capital One Financial Corporation

 

2,000,000

 

2.941%, (LIBOR 3M + 0.760%), 5/12/2020b

    2,006,394  

1,500,000

 

3.900%, 1/29/2024

    1,584,909  
 

Capital One NA

 

1,000,000

 

3.007%, (LIBOR 3M + 0.820%), 8/8/2022b

    1,002,890  
 

CIT Bank NA

 

700,000

 

2.969%, 9/27/2025b

    700,875  
 

Citigroup, Inc.

 

1,500,000

 

3.236%, (LIBOR 3M + 0.960%), 4/25/2022b

    1,515,846  
 

CNA Financial Corporation

 

1,250,000

 

5.750%, 8/15/2021

    1,327,593  
 

Comerica, Inc.

 

750,000

 

3.700%, 7/31/2023

    787,529  
 

Compass Bank

 

1,500,000

 

2.875%, 6/29/2022

    1,520,285  
 

Cooperatieve Centrale Raiffeisen-Boerenleenbank BA

 

1,600,000

 

2.500%, 1/19/2021

    1,609,174  
 

Credit Agricole SA

 

1,050,000

 

8.125%, 12/23/2025b,f,i

    1,235,062  
 

Credit Suisse Group AG

 

1,500,000

 

6.500%, 8/8/2023f

    1,668,750  

990,000

 

7.500%, 12/11/2023b,f,i

    1,093,950  
 

Danske Bank AS

 

1,500,000

 

5.375%, 1/12/2024f

    1,647,802  
 

Discover Bank

 

1,850,000

 

8.700%, 11/18/2019

    1,864,307  

1,250,000

 

2.450%, 9/12/2024

    1,246,609  
 

Fifth Third Bancorp

 

1,185,000

 

2.875%, 10/1/2021

    1,199,990  
 

GATX Corporation

 

1,500,000

 

4.350%, 2/15/2024

    1,604,543  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

124


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Financials (12.8%) - continued

 
 

Goldman Sachs Capital II

 

$88,000

 

4.000%, (LIBOR 3M + 0.768%), 11/1/2019b,i

    $74,281  
 

Goldman Sachs Group, Inc.

 

2,160,000

 

3.419%, (LIBOR 3M + 1.160%), 4/23/2020b

    2,169,439  
 

HSBC Bank Canada

 

1,000,000

 

3.300%, 11/28/2021f

    1,028,205  
 

HSBC Holdings plc

 

1,325,000

 

3.789%, (LIBOR 3M + 1.500%), 1/5/2022b

    1,349,810  

2,000,000

 

3.262%, 3/13/2023b

    2,034,701  

1,500,000

 

6.250%, 3/23/2023b,i

    1,550,250  
 

Huntington Bancshares, Inc.

 

1,550,000

 

3.150%, 3/14/2021

    1,570,817  
 

ING Groep NV

 

1,650,000

 

6.000%, 4/16/2020b,i

    1,665,015  

2,600,000

 

3.254%, (LIBOR 3M + 1.150%), 3/29/2022b

    2,633,098  

500,000

 

4.625%, 1/6/2026f

    553,104  
 

International Lease Finance Corporation

 

1,560,000

 

5.875%, 8/15/2022

    1,709,212  
 

J.P. Morgan Chase & Company

 

1,500,000

 

2.250%, 1/23/2020

    1,500,399  

1,250,000

 

5.300%, 5/1/2020b,i

    1,262,450  

1,750,000

 

3.875%, 9/10/2024

    1,864,452  

1,500,000

 

3.188%, (LIBOR 3M + 0.850%), 1/10/2025b,j

    1,499,285  
 

Kilroy Realty, LP

 

750,000

 

3.800%, 1/15/2023

    783,514  
 

Lincoln National Corporation

 

1,000,000

 

4.000%, 9/1/2023

    1,059,380  
 

Lloyds Banking Group plc

 

1,500,000

 

2.858%, 3/17/2023b

    1,504,840  

2,000,000

 

2.907%, 11/7/2023b

    2,003,965  

350,000

 

4.582%, 12/10/2025

    367,634  
 

Macquarie Group, Ltd.

 

1,500,000

 

3.164%, (LIBOR 3M + 1.020%), 11/28/2023b,f

    1,503,360  
 

Mitsubishi UFJ Financial Group, Inc.

 

1,325,000

 

3.187%, (LIBOR 3M + 1.060%), 9/13/2021b

    1,339,403  

1,400,000

 

3.070%, (LIBOR 3M + 0.920%), 2/22/2022b

    1,409,233  
 

Mizuho Financial Group Cayman 3, Ltd.

 

825,000

 

4.600%, 3/27/2024f

    880,149  
 

Mizuho Financial Group, Inc.

 

1,325,000

 

3.267%, (LIBOR 3M + 1.140%), 9/13/2021b

    1,340,593  

1,500,000

 

2.555%, 9/13/2025b

    1,496,051  
 

Morgan Stanley

 

1,000,000

 

5.913%, (LIBOR 3M + 3.610%), 1/15/2020b,i

    1,008,200  

750,000

 

2.720%, 7/22/2025b

    758,654  

1,750,000

 

5.000%, 11/24/2025

    1,960,853  
 

Nationwide Building Society

 

2,000,000

 

3.766%, 3/8/2024b,f

    2,053,880  
 

PayPal Holdings, Inc.

 

1,000,000

 

2.200%, 9/26/2022

    1,002,299  

1,000,000

 

2.400%, 10/1/2024

    1,003,322  
 

Peachtree Corners Funding Trust

 

1,375,000

 

3.976%, 2/15/2025f

    1,448,560  
Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Financials (12.8%) - continued

 
 

Realty Income Corporation

 

$2,000,000

 

3.250%, 10/15/2022

    $2,063,973  
 

Regions Financial Corporation

 

1,000,000

 

3.200%, 2/8/2021

    1,012,316  
 

Reinsurance Group of America, Inc.

 

2,000,000

 

4.700%, 9/15/2023

    2,161,270  
 

Royal Bank of Scotland Group plc

 

1,000,000

 

3.498%, 5/15/2023b

    1,013,344  

2,000,000

 

3.628%, (LIBOR 3M + 1.470%), 5/15/2023b

    2,001,811  
 

Santander Holdings USA, Inc.

 

1,000,000

 

3.400%, 1/18/2023

    1,023,370  
 

Santander UK Group Holdings plc

 

750,000

 

3.125%, 1/8/2021

    755,093  
 

Simon Property Group, LP

 

1,390,000

 

2.500%, 9/1/2020

    1,394,654  

1,600,000

 

2.500%, 7/15/2021

    1,612,419  
 

Stadshypotek AB

 

2,000,000

 

2.500%, 4/5/2022f

    2,031,092  
 

Standard Chartered plc

 

1,175,000

 

3.950%, 1/11/2023f

    1,204,313  
 

State Street Corporation

 

2,499,000

 

3.024%, (LIBOR 3M + 0.900%), 8/18/2020b

    2,516,704  
 

Sumitomo Mitsui Financial Group, Inc.

 

1,700,000

 

2.448%, 9/27/2024

    1,698,882  
 

SunTrust Banks, Inc.

 

775,000

 

2.900%, 3/3/2021

    783,059  
 

Synchrony Financial

 

1,440,000

 

3.517%, (LIBOR 3M + 1.230%), 2/3/2020b

    1,443,090  

250,000

 

2.850%, 7/25/2022

    252,204  

1,485,000

 

4.250%, 8/15/2024

    1,566,782  
 

USB Realty Corporation

 

1,495,000

 

3.450%, (LIBOR 3M + 1.147%), 1/15/2022b,f,i

    1,278,225  
 

Ventas Realty, LP

 

2,000,000

 

3.100%, 1/15/2023

    2,051,654  
 

Voya Financial, Inc.

 

500,000

 

5.650%, 5/15/2053b

    527,280  
 

Wells Fargo & Company

 

538,000

 

5.889%, (LIBOR 3M + 3.770%), 12/15/2019b,i

    544,725  

750,000

 

3.450%, 2/13/2023

    774,744  

1,500,000

 

3.750%, 1/24/2024

    1,588,575  
 

 

 
  Total     119,591,923  
 

 

 

Foreign Government (0.3%)

 
 

Kommunalbanken AS

 

2,555,000

 

1.500%, 10/22/2019f

    2,554,003  
 

 

 
  Total     2,554,003  
 

 

 

Mortgage-Backed Securities (4.5%)

 
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

1,750,000

 

2.500%, 10/1/2034e

    1,765,073  

5,650,000

 

3.500%, 10/1/2034e

    5,843,777  

10,328,000

 

3.000%, 10/1/2034e

    10,558,363  
 

Federal National Mortgage Association Conventional 30-Yr. Pass Through

 

299,965

 

4.430%, (LIBOR 12M + 1.493%), 1/1/2043b

    307,949  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

125


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

Mortgage-Backed Securities (4.5%) - continued

 

$424,805

 

4.321%, (LIBOR 12M + 1.550%), 7/1/2043b

    $440,146  

6,535,000

 

3.500%, 10/1/2049e

    6,704,757  

16,112,000

 

3.000%, 10/1/2049e

    16,357,456  
 

 

 
  Total     41,977,521  
 

 

 

Technology (1.4%)

 
 

Apple, Inc.

 

1,735,000

 

2.476%, (LIBOR 3M + 0.300%), 5/6/2020b

    1,736,689  
 

Dell International, LLC/EMC Corporation

 

1,500,000

 

4.000%, 7/15/2024f

    1,568,958  
 

Fiserv, Inc.

 

2,000,000

 

2.750%, 7/1/2024

    2,034,204  
 

Global Payments, Inc.

 

875,000

 

2.650%, 2/15/2025

    878,720  
 

Hewlett Packard Enterprise Company

 

1,750,000

 

3.500%, 10/5/2021

    1,794,042  
 

Marvell Technology Group, Ltd.

 

1,000,000

 

4.200%, 6/22/2023

    1,048,217  
 

Panasonic Corporation

 

1,000,000

 

2.536%, 7/19/2022f

    1,006,093  

1,000,000

 

2.679%, 7/19/2024f

    1,012,597  
 

Texas Instruments, Inc.

 

1,000,000

 

1.750%, 5/1/2020

    998,933  
 

VMware, Inc.

 

1,000,000

 

2.950%, 8/21/2022

    1,014,207  
 

 

 
  Total     13,092,660  
 

 

 

Transportation (2.2%)

 
 

Air Canada Pass Through Trust

 

1,044,521

 

3.875%, 3/15/2023f

    1,058,414  
 

Air Lease Corporation

 

1,750,000

 

3.500%, 1/15/2022

    1,794,910  

1,500,000

 

4.250%, 2/1/2024

    1,589,131  
 

Aircastle, Ltd.

 

1,500,000

 

4.400%, 9/25/2023

    1,576,677  
 

American Airlines Pass Through Trust

 

744,914

 

4.950%, 1/15/2023

    780,819  

703,174

 

3.700%, 5/1/2023

    710,417  
 

Avolon Holdings Funding, Ltd.

 

1,500,000

 

3.950%, 7/1/2024f

    1,538,550  
 

British Airways plc

 

1,101,320

 

4.625%, 6/20/2024f

    1,166,959  
 

Continental Airlines, Inc.

 

2,290,235

 

4.150%, 4/11/2024

    2,411,846  
 

Delta Air Lines, Inc.

 

364,248

 

4.750%, 5/7/2020

    368,728  
 

ERAC USA Finance, LLC

 

1,600,000

 

2.600%, 12/1/2021f

    1,608,084  
 

J.B. Hunt Transport Services, Inc.

 

1,175,000

 

3.300%, 8/15/2022

    1,201,782  
 

Penske Truck Leasing Company, LP

 

750,000

 

3.650%, 7/29/2021f

    767,361  

1,000,000

 

2.700%, 11/1/2024f

    1,002,218  

1,000,000

 

3.950%, 3/10/2025f

    1,056,390  
 

Ryder System, Inc.

 

1,000,000

 

3.400%, 3/1/2023

    1,033,186  
 

TTX Company

 

800,000

 

4.125%, 10/1/2023f

    841,601  
 

 

 
  Total     20,507,073  
 

 

 
Principal
Amount
  Long-Term Fixed Income (94.6%)   Value

 

 

U.S. Government & Agencies (20.1%)

 
 

Federal Home Loan Bank

 

$6,500,000

 

2.500%, 2/13/2024

    $6,746,962  

3,000,000

 

1.500%, 8/15/2024

    2,985,302  
 

Federal National Mortgage Association

 

3,000,000

 

2.875%, 9/12/2023

    3,144,758  
 

U.S. Treasury Bonds

 

1,325,000

 

2.250%, 11/15/2027

    1,386,126  

1,335,000

 

5.500%, 8/15/2028

    1,757,924  

11,750,000

 

2.625%, 2/15/2029

    12,720,293  

200,000

 

3.000%, 5/15/2042

    234,031  

1,425,000

 

2.500%, 5/15/2046

    1,535,883  

1,600,000

 

2.875%, 5/15/2049

    1,867,625  
 

U.S. Treasury Bonds, TIPS

 

2,667,576

 

0.125%, 1/15/2023

    2,645,834  
 

U.S. Treasury Notes

 

1,100,000

 

1.875%, 12/15/2020

    1,100,988  

2,500,000

 

2.500%, 2/28/2021

    2,525,586  

1,550,000

 

1.375%, 5/31/2021

    1,541,281  

1,250,000

 

2.625%, 6/15/2021

    1,269,092  

29,095,000

 

1.125%, 8/31/2021

    28,799,504  

35,900,000

 

2.500%, 1/15/2022

    36,595,563  

1,500,000

 

1.875%, 7/31/2022

    1,511,367  

19,585,000

 

2.000%, 11/30/2022

    19,833,638  

7,750,000

 

2.750%, 7/31/2023

    8,087,246  

22,820,000

 

2.500%, 1/31/2024

    23,705,166  

1,000,000

 

1.250%, 8/31/2024

    986,133  

2,000,000

 

2.875%, 7/31/2025

    2,141,406  

18,125,000

 

2.625%, 1/31/2026

    19,223,828  
 

U.S. Treasury Notes, TIPS

 

5,953,695

 

0.125%, 4/15/2021

    5,889,966  
 

 

 
  Total     188,235,502  
 

 

 

Utilities (3.0%)

 
 

Ameren Corporation

 

1,150,000

 

2.700%, 11/15/2020

    1,155,991  

750,000

 

2.500%, 9/15/2024

    753,808  
 

American Electric Power Company, Inc.

 

1,000,000

 

3.650%, 12/1/2021

    1,031,567  
 

CenterPoint Energy, Inc.

 

1,750,000

 

3.850%, 2/1/2024

    1,846,722  
 

DTE Energy Company

 

1,500,000

 

3.700%, 8/1/2023

    1,572,982  

1,500,000

 

2.529%, 10/1/2024

    1,504,631  
 

Duke Energy Carolinas, LLC

 

500,000

 

3.950%, 11/15/2028

    558,175  
 

Enel Finance International NV

 

2,000,000

 

2.750%, 4/6/2023f

    2,012,638  
 

Exelon Corporation

 

1,650,000

 

2.850%, 6/15/2020

    1,656,898  

1,250,000

 

3.497%, 6/1/2022

    1,282,698  
 

Exelon Generation Company, LLC

 

1,255,000

 

2.950%, 1/15/2020

    1,256,713  
 

ITC Holdings Corporation

 

1,500,000

 

2.700%, 11/15/2022

    1,514,489  
 

Jersey Central Power & Light Company

 

1,500,000

 

4.300%, 1/15/2026f

    1,642,307  
 

National Rural Utilities Cooperative Finance Corporation

 

1,150,000

 

4.750%, 4/30/2043b

    1,171,356  
 

NiSource Finance Corporation

 

1,000,000

 

2.650%, 11/17/2022

    1,011,950  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

126


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (94.6%)   Value  

 

 

Utilities (3.0%) - continued

 
  NiSource, Inc.  
$1,250,000  

5.650%, 6/15/2023b,i

    $1,256,250  
 

PPL Capital Funding, Inc.

 
1,580,000  

3.500%, 12/1/2022

    1,629,544  
 

Public Service Enterprise Group, Inc.

 
2,000,000  

2.875%, 6/15/2024

    2,052,408  
 

Sempra Energy

 
1,250,000  

2.400%, 3/15/2020

    1,250,554  
 

Southern Company

 
1,500,000  

2.950%, 7/1/2023

    1,531,039  
 

 

 
  Total     27,692,720  
 

 

 
   
 

 

 
 

Total Long-Term Fixed Income

(cost $872,128,220)

    884,712,474  
 

 

 
Shares   Registered Investment Companies (2.1%)   Value  

 

 

Unaffiliated (2.1%)

 
245,500  

Vanguard Short-Term Corporate Bond ETF

    19,897,775  
 

 

 
  Total     19,897,775  
 

 

 
   
 

 

 
  Total Registered Investment Companies (cost $19,856,608)     19,897,775  
 

 

 
Shares   Preferred Stock (0.2%)   Value  

 

 

Financials (0.2%)

 
66,000  

Citigroup Capital XIII, 8.636%b

    1,810,380  
 

 

 
  Total     1,810,380  
 

 

 
   
 

 

 
 

Total Preferred Stock

(cost $1,821,600)

    1,810,380  
 

 

 
Shares   Common Stock (<0.1%)   Value  

 

 

Energy (<0.1%)

 
38,985  

Pacific Drilling SAk

    152,431  
 

 

 
  Total     152,431  
 

 

 
   
 

 

 
 

Total Common Stock

(cost $793,888)

    152,431  
 

 

 
Shares   Collateral Held for Securities Loaned
(<0.1%)
  Value  

 

 
60,623  

Thrivent Cash Management Trust

    60,623  
 

 

 
 

Total Collateral Held for Securities Loaned

(cost $60,623)

    60,623  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (7.0%)   Value  

 

 
 

Federal Home Loan Bank Discount
Notes

 
200,000  

2.000%, 11/1/2019l,m

    199,676  
900,000  

1.910%, 12/5/2019l,m

    896,962  
 

Thrivent Core Short-Term Reserve
Fund

 
6,426,202  

2.230%

    64,262,018  
 

 

 
 

Total Short-Term Investments

(cost $65,358,569)

    65,358,656  
 

 

 
 

Total Investments

(cost $963,418,351) 104.3%

    $975,306,247  
 

 

 
 

Other Assets and Liabilities, Net

(4.3%)

    (40,338,758
 

 

 
  Total Net Assets 100.0%     $934,967,489  
 

 

 
a

The stated interest rate represents the weighted average of all contracts within the bank loan facility.

b

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

c

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

d

All or a portion of the loan is unfunded.

e

Denotes investments purchased on a when-issued or delayed delivery basis.

f

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $382,245,510 or 40.9% of total net assets.

g

Denotes step coupon securities. Step coupon securities pay an initial coupon rate for the first period and then different coupon rates for following periods. The rate shown is as of September 30, 2019.

h

All or a portion of the security is insured or guaranteed.

i

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

j

All or a portion of the security is on loan.

k

Non-income producing security.

l

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

m

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Limited Maturity Bond Portfolio as of September 30, 2019:

 

Securities Lending Transactions

 

Long-Term Fixed Income

     $58,972  

 

 

Total lending

     $58,972  
Gross amount payable upon return of collateral for securities loaned      $60,623  

 

 

Net amounts due to counterparty

     $1,651  

 

 

 

Definitions:
 

ACES

  -  

Alternative Credit Enhancement Securities

 

CLO

  -  

Collateralized Loan Obligation

 

ETF

  -  

Exchange Traded Fund

 

Ser.

  -  

Series

 

TIPS

  -  

Treasury Inflation Protected Security

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

127


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Reference Rate Index:   

12 MTA

  -   

  12 Month Treasury Average

CMT 1Y

  -   

  Constant Maturity Treasury Yield 1 Year

CMT 3M

  -   

  Constant Maturity Treasury Yield 3 Month

LIBOR 1W

  -   

  ICE Libor USD Rate 1 Week

LIBOR 1M

  -   

  ICE Libor USD Rate 1 Month

LIBOR 2M

  -   

  ICE Libor USD Rate 2 Month

LIBOR 3M

  -   

  ICE Libor USD Rate 3 Month

LIBOR 12M

  -   

  ICE Libor USD Rate 12 Month

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

128


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Limited Maturity Bond Portfolio’s assets carried at fair value.

 

Investments in Securities    Total            Level 1            Level 2            Level 3          

 

Bank Loans

                 

Basic Materials

     141,712                   68,947          72,765  

Capital Goods

     254,427                   254,427           

Communications Services

     614,160                   434,835          179,325  

Consumer Cyclical

     232,013                   48,205          183,808  

Consumer Non-Cyclical

     997,469                   997,469           

Energy

     298,259                   298,259           

Financials

     490,044                   490,044           

Technology

     285,824                   285,824           

 

Long-Term Fixed Income

                 

Asset-Backed Securities

     200,193,679                   200,193,679           

Basic Materials

     10,943,219                   10,943,219           

Capital Goods

     11,770,133                   11,770,133           

Collateralized Mortgage Obligations

     147,227,918                   147,227,918           

Commercial Mortgage-Backed Securities

     3,395,432                   3,395,432           

Communications Services

     17,095,933                   17,095,933           

Consumer Cyclical

     14,952,241                   14,952,241           

Consumer Non-Cyclical

     40,075,961                   40,075,961           

Energy

     25,406,556                   25,406,556           

Financials

     119,591,923                   119,591,923           

Foreign Government

     2,554,003                   2,554,003           

Mortgage-Backed Securities

     41,977,521                   41,977,521           

Technology

     13,092,660                   13,092,660           

Transportation

     20,507,073                   20,507,073           

U.S. Government & Agencies

     188,235,502                   188,235,502           

Utilities

     27,692,720                   27,692,720           

 

Registered Investment Companies

                 

Unaffiliated

     19,897,775          19,897,775                    

 

Preferred Stock

                 

Financials

     1,810,380          1,810,380                    

 

Common Stock

                 

Energy

     152,431          152,431                    

Short-Term Investments

     1,096,638                   1,096,638           

Subtotal Investments in Securities

     $910,983,606          $21,860,586          $888,687,122          $435,898  
Other Investments *    Total                         

Affiliated Short-Term Investments

     64,262,018  

Collateral Held for Securities Loaned

     60,623  

Subtotal Other Investments

     $64,322,641  
          

Total Investments at Value

     $975,306,247  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments    Total              Level 1                Level 2                Level 3          

Asset Derivatives

                       

Futures Contracts

     796,077          796,077             –               –    

Total Asset Derivatives

     $796,077          $796,077                   $–                     $–    

Liability Derivatives

                       

Futures Contracts

     262,757          262,757                   –                     –    

Total Liability Derivatives

     $262,757          $262,757                   $–                     $–    

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

129


LIMITED MATURITY BOND PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents Limited Maturity Bond Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $1,096,638 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
       Expiration
Date
       Notional Principal
Amount
     Value and
Unrealized
 

CBOT 2-Yr. U.S. Treasury Note

     406                    December 2019          $87,694,076          ($201,076

CME Ultra Long Term U.S. Treasury Bond

     7                    December 2019          1,353,047          (9,703

Ultra 10-Yr. U.S. Treasury Note

     27                    December 2019          3,896,946          (51,978

Total Futures Long Contracts

                           $92,944,069          ($262,757

CBOT 10-Yr. U.S. Treasury Note

     (247)                   December 2019          ($32,462,462        $275,274  

CBOT 5-Yr. U.S. Treasury Note

     (796)                   December 2019          (95,318,640        476,482  

CBOT U.S. Long Bond

     (19)                   December 2019          (3,128,258        44,321  

Total Futures Short Contracts

                           ($130,909,360        $796,077  

Total Futures Contracts

                           ($37,965,291        $533,320  

 

Reference Description:

CBOT     

   -   

     Chicago Board of Trade

CME

   -   

     Chicago Mercantile Exchange

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Limited Maturity Bond Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $36,786        $251,418        $223,942        $64,262        6,426             6.9%  

Total Affiliated Short-Term Investments

     36,786                          64,262                 6.9  

Collateral held for Securities Loaned

                 

Cash Management Trust-Collateral Investment

     1,375        8,677        9,991        61        61             <0.1  

Total Collateral Held for Securities Loaned

     1,375                          61                 <0.1  

Total Value

     $38,161                          $64,323                    

 

Portfolio    Net Realized   
Gain/(Loss)   
     Change in   
Unrealized   
Appreciation/   
(Depreciation)   
     Distributions of
Realized Capital
Gains
     Income Earned    
1/1/2019
- 9/30/2019

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $1,089      

Total Income from Affiliated Investments

                                $1,089      

Collateral Held for Securities Loaned

           

Cash Management Trust-Collateral Investment

                          2      

Total Affiliated Income from Securities Loaned, Net

                                $2      

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

130


LOW VOLATILITY EQUITY PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (96.9%)   Value  

 

 

Communications Services (8.4%)

 
2,769  

Auto Trader Group plca

    $17,355  
2,983  

BCE, Inc.

    144,281  
5,640  

Deutsche Telekom AG

    94,600  
2,603  

Elisa Oyj

    134,197  
401,000  

HKT Trust and HKT, Ltd.

    636,115  
8,600  

KDDI Corporation

    224,398  
3,500  

Nippon Telegraph & Telephone Corporation

    167,453  
22,400  

NTT DOCOMO, Inc.

    571,976  
589,000  

PCCW, Ltd.

    330,660  
7,611  

Proximus SA

    226,154  
1,760  

Rogers Communications Inc.

    85,725  
4,723  

Verizon Communications, Inc.

    285,080  
 

 

 
  Total     2,917,994  
 

 

 

Consumer Discretionary (11.0%)

 
2,800  

Benesse Holdings, Inc.

    72,940  
616  

Berkeley Group Holdings plc

    31,628  
4,186  

Bunzl plc

    109,419  
322  

Compass Group plc

    8,286  
92  

Hermes International

    63,543  
1,709  

Home Depot, Inc.

    396,522  
2,173  

McDonald’s Corporation

    466,565  
20,700  

Nissan Motor Company, Ltd.

    129,237  
500  

Nitori Holdings Company, Ltd.

    73,375  
15,200  

Park24 Company, Ltd.

    353,112  
8,800  

Rinnai Corporation

    592,966  
461  

Ross Stores, Inc.

    50,641  
2,700  

Sankyo Company, Ltd.

    92,911  
16,700  

Sekisui House, Ltd.

    329,527  
3,100  

SHIMAMURA Company, Ltd.

    246,287  
20,520  

SmartCentres REIT

    503,378  
4,571  

TJX Companies, Inc.

    254,788  
7,900  

Yamada Denki Company, Ltd.

    38,278  
 

 

 
  Total     3,813,403  
 

 

 

Consumer Staples (17.0%)

 
1,111  

Carlsberg AS

    164,181  
10,155  

Coca-Cola Company

    552,838  
1,739  

Colgate-Palmolive Company

    127,834  
825  

Diageo plc

    33,701  
213  

Empire Company, Ltd.

    5,767  
474  

Hershey Company

    73,465  
24,800  

Japan Tobacco, Inc.

    543,359  
216  

Kerry Group plc

    25,262  
95  

Kimberly-Clark Corporation

    13,495  
7,654  

Koninklijke Ahold Delhaize NV

    191,409  
6,400  

Lawson, Inc.

    327,715  
47  

Lindt & Spruengli AG

    347,127  
1,019  

Loblaw Companies, Ltd.

    58,040  
1,481  

Mondelez International, Inc.

    81,929  
6,207  

Nestle SA

    673,177  
10,961  

Orkla ASA

    99,738  
4,716  

PepsiCo, Inc.

    646,564  
5,492  

Procter & Gamble Company

    683,095  
7,900  

Sundrug Company, Ltd.

    249,272  
700  

TSURUHA Holdings, Inc.

    76,443  
4,291  

Unilever NV

    257,664  
4,905  

Unilever plc

    294,799  
3,065  

Wal-Mart Stores, Inc.

    363,754  
 

 

 
  Total     5,890,628  
 

 

 

Financials (15.3%)

 
556  

Alleghany Corporationb

    443,554  
2,925  

Allstate Corporation

    317,889  
467  

American Express Company

    55,237  
Shares   Common Stock (96.9%)   Value  

 

 

Financials (15.3%) - continued

 
4,601  

American Financial Group, Inc.

    $496,218  
1,883  

Aon plc

    364,492  
1,249  

Arch Capital Group, Ltd.b

    52,433  
6,107  

Arthur J. Gallagher & Company

    547,004  
2,745  

Baloise Holding AG

    491,835  
1,684  

Berkshire Hathaway, Inc.b

    350,306  
1,518  

Chubb, Ltd.

    245,066  
25,181  

CI Financial Corporation

    367,399  
1,203  

Deutsche Boerse AG

    187,619  
15,754  

Direct Line Insurance Group plc

    58,124  
680  

Hartford Financial Services Group, Inc.

    41,215  
262  

Intercontinental Exchange, Inc.

    24,175  
15,227  

Israel Discount Bank, Ltd.

    66,926  
145  

Markel Corporationb

    171,375  
5,619  

Marsh & McLennan Companies, Inc.

    562,181  
840  

Pargesa Holding SA

    64,611  
103  

Reinsurance Group of America, Inc.

    16,468  
2,253  

Toronto-Dominion Bank

    131,369  
1,159  

W.R. Berkley Corporation

    83,715  
875  

Willis Towers Watson plc

    168,849  
 

 

 
  Total     5,308,060  
 

 

 

Health Care (12.0%)

 
920  

Abbott Laboratories

    76,976  
165  

Amgen, Inc.

    31,929  
1,742  

Baxter International, Inc.

    152,373  
3,732  

Danaher Corporation

    539,013  
2,123  

Eli Lilly and Company

    237,415  
11,668  

GlaxoSmithKline plc

    250,098  
3,937  

Johnson & Johnson

    509,369  
2,763  

Medtronic plc

    300,117  
16,700  

Mitsubishi Tanabe Pharma Corporation

    184,039  
3,691  

Novartis AG

    320,331  
6,596  

Novo Nordisk AS

    340,856  
2,506  

Recordati SPA

    107,480  
1,985  

Roche Holding AG

    577,962  
395  

Sonova Holding AG

    91,909  
492  

Stryker Corporation

    106,419  
1,497  

UnitedHealth Group, Inc.

    325,328  
 

 

 
  Total     4,151,614  
 

 

 

Industrials (6.9%)

 
631  

AMETEK, Inc.

    57,938  
859  

Geberit AG

    410,504  
809  

General Dynamics Corporation

    147,829  
2,207  

Honeywell International, Inc.

    373,424  
481  

Lockheed Martin Corporation

    187,619  
9,450  

RELX plc

    224,434  
16  

SGS SA

    39,663  
3,500  

Singapore Airport Terminal Services, Ltd.

    12,273  
100  

Sumitomo Corporation

    1,565  
1,362  

United Technologies Corporation

    185,940  
1,925  

Verisk Analytics, Inc.

    304,419  
859  

Waste Connections, Inc.

    79,028  
3,328  

Waste Management, Inc.

    382,720  
 

 

 
  Total     2,407,356  
 

 

 

Information Technology (8.5%)

 
298  

Accenture plc

    57,320  
2,791  

Amphenol Corporation

    269,331  
1,790  

Automatic Data Processing, Inc.

    288,942  
13,200  

Canon, Inc.

    352,997  
7,847  

CGI, Inc.b

    620,487  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

131


LOW VOLATILITY EQUITY PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (96.9%)   Value  

 

 

Information Technology (8.5%) - continued

 
6,400  

Cisco Systems, Inc.

    $316,224  
951  

Fiserv, Inc.b

    98,514  
1,331  

MasterCard, Inc.

    361,460  
2,392  

Microsoft Corporation

    332,560  
977  

Oracle Corporation

    53,764  
1,314  

Synopsys, Inc.b

    180,346  
 

 

 
  Total     2,931,945  
 

 

 

Materials (1.9%)

 
3,756  

Barrick Gold Corporation

    64,979  
4,475  

Kirkland Lake Gold, Ltd.

    200,469  
10,234  

Newmont Mining Corporation

    388,073  
 

 

 
  Total     653,521  
 

 

 

Real Estate (8.0%)

 
1,296  

American Tower Corporation

    286,585  
2,251  

AvalonBay Communities, Inc.

    484,708  
2,785  

Camden Property Trust

    309,163  
33,700  

CapitaLand Mall Trust

    64,155  
1,400  

Daito Trust Construction Company, Ltd.

    179,310  
1,407  

Equity Residential

    121,368  
27,029  

First Capital Realty, Inc.

    450,262  
3,391  

H&R REIT

    59,202  
86,000  

Hang Lung Properties, Ltd.

    195,176  
6,717  

Klepierre SA

    228,113  
5,000  

Link REIT

    55,154  
388  

Public Storage, Inc.

    95,165  
5,996  

RioCan REIT

    119,390  
46  

United Urban Investment Corporation

    88,125  
26,719  

Vicinity Centres

    46,357  
 

 

 
  Total     2,782,233  
 

 

 

Utilities (7.9%)

 
1,375  

Ameren Corporation

    110,069  
2,897  

American Electric Power Company, Inc.

    271,420  
11,500  

CLP Holdings, Ltd.

    120,875  
4,105  

Consolidated Edison, Inc.

    387,799  
5,057  

DTE Energy Company

    672,379  
6,529  

Duke Energy Corporation

    625,870  
19,480  

Enel SPA

    145,503  
322  

Evergy, Inc.

    21,432  
305  

NextEra Energy, Inc.

    71,062  
1,000  

Southern Company

    61,770  
4,143  

Xcel Energy, Inc.

    268,839  
 

 

 
  Total     2,757,018  
 

 

 
   
 

 

 
 

Total Common Stock

(cost $30,225,651)

    33,613,772  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (2.4%)   Value  

 

 
 

Federal Home Loan Bank Discount Notes

 
200,000  

        2.075%, 10/2/2019c,d

    199,990  
Shares or
Principal
Amount
  Short-Term Investments (2.4%)   Value  

 

 
 

Thrivent Core Short-Term Reserve Fund

 
64,461  

        2.230%

    $644,611  
 

 

 
  Total Short-Term Investments (cost $844,599)     844,601  
 

 

 
 

Total Investments (cost

$31,070,250) 99.3%

    $34,458,373  
 

 

 
  Other Assets and Liabilities, Net 0.7%     241,910  
 

 

 
  Total Net Assets 100.0%     $34,700,283  
 

 

 

 

a

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $17,355 or 0.1% of total net assets.

b

Non-income producing security.

c

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

d

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

 

Definitions:    
REIT -   Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

132


LOW VOLATILITY EQUITY PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Low Volatility Equity Portfolio’s assets carried at fair value.

 

Investments in Securities    Total        Level 1        Level 2        Level 3  

Common Stock

                 

Communications Services

     2,917,994          285,080          2,632,914                  –  

Consumer Discretionary

     3,813,403          1,168,516          2,644,887           

Consumer Staples

     5,890,628          2,542,974          3,347,654           

Financials

     5,308,060          3,940,177          1,367,883           

Health Care

     4,151,614          2,278,939          1,872,675           

Industrials

     2,407,356          1,718,917          688,439           

Information Technology

     2,931,945          1,958,461          973,484           

Materials

     653,521          388,073          265,448           

Real Estate

     2,782,233          1,296,989          1,485,244           

Utilities

     2,757,018          2,490,640          266,378           

Short-Term Investments

     199,990                   199,990           

Subtotal Investments in Securities

     $33,813,762          $18,068,766          $15,744,996          $–  

Other Investments *

     Total       

Affiliated Short-Term Investments

     644,611  

Subtotal Other Investments

     $644,611  
          

Total Investments at Value

     $34,458,373  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments    Total    Level 1    Level 2          Level 3        

Liability Derivatives

                 

Futures Contracts

   3,977    3,977                    

Total Liability Derivatives

   $3,977    $3,977         $–           $–  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

The following table presents Low Volatility Equity Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $199,990 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description   

Number of

Contracts

    Long/(Short)    

         Expiration    
Date
         Notional Principal    
Amount
       Value and        
    Unrealized        

Eurex MSCI World Index

     10            December 2019      $643,577    ($3,977)

Total Futures Long Contracts

                     $643,577    ($3,977)

Total Futures Contracts

                     $643,577    ($3,977)

 

Reference Description:
MSCI    -   Morgan Stanley Capital International

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

133


LOW VOLATILITY EQUITY PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio.    The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Low Volatility Equity Portfolio, is as follows:

 

     Value      Gross      Gross      Value      Shares Held at      % of Net Assets  
Portfolio    12/31/2018      Purchases      Sales      9/30/2019      9/30/2019      9/30/2019  

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $582        $9,384        $9,321        $645        64        1.8%  

Total Affiliated Short-Term Investments

     582                          645                 1.8  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

            1,134        1,134                       

Total Collateral Held for Securities Loaned

                                               

Total Value

     $582                          $645                    

 

            Change in                
            Unrealized      Distributions of      Income Earned      
     Net Realized        Appreciation/      Realized Capital      1/1/2019  
Portfolio    Gain/(Loss)      (Depreciation)      Gains      - 9/30/2019  

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $11      

Total Income from Affiliated Investments

                                $11      

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          3      

Total Affiliated Income from Securities Loaned, Net

                                $3      

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

134


MID CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (97.8%)   Value  

 

 

Communications Services (2.3%)

 

11,465  

AMC Networks, Inc.a

    $563,619  
1,304  

Cable One, Inc.

    1,636,129  
27,679  

Cinemark Holdings, Inc.

    1,069,517  
11,433  

John Wiley and Sons, Inc.

    502,366  
36,107  

Live Nation Entertainment, Inc.a

    2,395,338  
10,404  

Meredith Corporation

    381,411  
37,318  

New York Times Company

    1,062,817  
56,251  

Tegna, Inc.

    873,578  
25,333  

Telephone & Data Systems, Inc.

    653,591  
12,349  

World Wrestling Entertainment, Inc.

    878,631  
16,782  

Yelp, Inc.a

    583,175  
 

 

 
  Total     10,600,172  
 

 

 

Consumer Discretionary (12.5%)

 
17,538  

Aaron’s, Inc.

    1,126,992  
22,606  

Adient plc

    519,034  
14,260  

Adtalem Global Education, Inc.a

    543,163  
41,237  

American Eagle Outfitters, Inc.

    668,864  
15,264  

AutoNation, Inc.a

    773,885  
33,175  

Bed Bath & Beyond, Inc.b

    352,982  
20,776  

Boyd Gaming Corporation

    497,585  
9,736  

Brinker International, Inc.b

    415,435  
22,257  

Brunswick Corporation

    1,160,035  
144,298  

Caesars Entertainment Corporationa

    1,682,515  
11,616  

Carter’s, Inc.

    1,059,495  
10,661  

Cheesecake Factory, Inc.b

    444,350  
9,251  

Churchill Downs, Inc.

    1,142,082  
6,243  

Cracker Barrel Old Country Store, Inc.

    1,015,424  
37,367  

Dana, Inc.

    539,579  
7,499  

Deckers Outdoor Corporationa

    1,105,053  
22,617  

Delphi Technologies plc

    303,068  
17,107  

Dick’s Sporting Goods, Inc.

    698,137  
2,652  

Dillard’s, Inc.b

    175,324  
10,706  

Domino’s Pizza, Inc.

    2,618,581  
21,476  

Dunkin’ Brands Group, Inc.

    1,704,335  
16,961  

Eldorado Resorts, Inc.a,b

    676,235  
31,276  

Etsy, Inc.a

    1,767,094  
14,453  

Five Below, Inc.a

    1,822,523  
28,482  

Foot Locker, Inc.

    1,229,283  
66,149  

Gentex Corporation

    1,821,413  
60,371  

Goodyear Tire & Rubber Company

    869,644  
1,130  

Graham Holdings Company

    749,698  
23,719  

GrubHub, Inc.a,b

    1,333,245  
6,519  

Helen of Troy, Ltd.a

    1,027,786  
6,194  

International Speedway Corporation

    278,792  
6,705  

Jack in the Box, Inc.

    610,960  
22,203  

KB Home

    754,902  
10,058  

Marriott Vacations Worldwide Corporation

    1,042,109  
89,713  

Mattel, Inc.a

    1,021,831  
7,803  

Murphy USA, Inc.a

    665,596  
14,199  

Ollie’s Bargain Outlet Holdings, Inc.a

    832,629  
5,694  

Papa John’s International, Inc.b

    298,081  
62,245  

Park Hotels & Resorts, Inc.

    1,554,258  
28,108  

Penn National Gaming, Inc.a

    523,512  
14,918  

Polaris Industries, Inc.

    1,312,933  
10,365  

Pool Corporation

    2,090,621  
31,297  

Sally Beauty Holdings, Inc.a

    466,012  
14,026  

Scientific Games Corporationa

    285,429  
47,348  

Service Corporation International

    2,263,708  
20,369  

Six Flags Entertainment Corporation

    1,034,542  
34,727  

Skechers USA, Inc.a

    1,297,053  
8,472  

Sotheby’s Holdings, Inc.a

    482,735  
11,954  

Tempur Sealy International, Inc.a

    922,849  
16,980  

Texas Roadhouse, Inc.

    891,790  
14,296  

Thor Industries, Inc.

    809,725  
Shares   Common Stock (97.8%)   Value  

 

 

Consumer Discretionary (12.5%) - continued

 
33,544  

Toll Brothers, Inc.

    $1,376,981  
36,936  

Tri Pointe Homes, Inc.a

    555,517  
18,150  

Urban Outfitters, Inc.a

    509,834  
7,258  

Visteon Corporationa

    599,075  
12,056  

Weight Watchers International, Inc.a

    455,958  
48,082  

Wendy’s Company

    960,678  
20,304  

Williams-Sonoma, Inc.

    1,380,266  
23,945  

Wyndham Destinations, Inc.

    1,101,949  
25,037  

Wyndham Hotels & Resorts, Inc.

    1,295,414  
 

 

 
  Total     57,518,578  
 

 

 

Consumer Staples (2.8%)

 
2,385  

Boston Beer Company, Inc.a

    868,331  
9,546  

Casey’s General Stores, Inc.

    1,538,433  
14,062  

Edgewell Personal Care Companya

    456,874  
16,637  

Energizer Holdings, Inc.b

    725,040  
49,974  

Flowers Foods, Inc.

    1,155,899  
20,835  

Hain Celestial Group, Inc.a

    447,432  
17,325  

Ingredion, Inc.

    1,416,146  
5,163  

Lancaster Colony Corporation

    715,850  
14,422  

Nu Skin Enterprises, Inc.

    613,368  
13,593  

Pilgrim’s Pride Corporationa

    435,588  
17,833  

Post Holdings, Inc.a

    1,887,445  
5,119  

Sanderson Farms, Inc.

    774,658  
1,639  

Spectrum Brands Holdings, Inc.

    86,408  
30,666  

Sprouts Farmers Markets, Inc.a

    593,080  
4,380  

Tootsie Roll Industries, Inc.b

    162,673  
14,592  

TreeHouse Foods, Inc.a

    809,126  
 

 

 
  Total     12,686,351  
 

 

 

Energy (2.1%)

 
67,114  

Antero Midstream Corporationb

    496,644  
20,111  

Apergy Corporationa

    544,003  
292,812  

Chesapeake Energy Corporationa,b

    412,865  
48,698  

CNX Resources Corporationa

    353,547  
11,518  

Core Laboratories NVb

    536,969  
66,337  

EQT Corporation

    705,826  
52,972  

Equitrans Midstream Corporation

    770,743  
28,469  

Matador Resources Companya,b

    470,593  
40,020  

Murphy Oil Corporationb

    884,842  
75,212  

Oasis Petroleum, Inc.a

    260,233  
25,686  

Oceaneering International, Inc.a

    348,045  
52,604  

Patterson-UTI Energy, Inc.

    449,764  
26,460  

PBF Energy, Inc.

    719,447  
140,546  

Southwestern Energy Companya,b

    271,254  
149,316  

Transocean, Ltd.a

    667,443  
16,976  

World Fuel Services Corporation

    678,021  
109,669  

WPX Energy, Inc.a

    1,161,395  
 

 

 
  Total     9,731,634  
 

 

 

Financials (16.5%)

 
3,747  

Alleghany Corporationa

    2,989,207  
19,382  

American Financial Group, Inc.

    2,090,349  
42,104  

Associated Banc-Corp

    852,606  
24,342  

BancorpSouth Bank

    720,767  
10,548  

Bank of Hawaii Corporation

    906,390  
31,386  

Bank OZK

    855,896  
28,926  

Brighthouse Financial, Inc.a

    1,170,635  
60,614  

Brown & Brown, Inc.

    2,185,741  
19,687  

Cathay General Bancorp

    683,828  
40,501  

CNO Financial Group, Inc.

    641,131  
25,645  

Commerce Bancshares, Inc.

    1,555,369  
14,804  

Cullen/Frost Bankers, Inc.

    1,310,894  
37,789  

East West Bancorp, Inc.

    1,673,675  
29,350  

Eaton Vance Corporation

    1,318,695  
10,352  

Evercore, Inc.

    829,195  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

135


MID CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (97.8%)   Value  

 

 

Financials (16.5%) - continued

 
84,349  

F.N.B. Corporation

    $972,544  
9,933  

FactSet Research Systems, Inc.

    2,413,421  
24,958  

Federated Investors, Inc.

    808,889  
29,105  

First American Financial Corporation

    1,717,486  
35,261  

First Financial Bankshares, Inc.

    1,175,249  
81,131  

First Horizon National Corporation

    1,314,322  
11,155  

FirstCash, Inc.

    1,022,579  
43,170  

Fulton Financial Corporation

    698,491  
130,679  

Genworth Financial, Inc.a

    574,988  
12,378  

Green Dot Corporationa

    312,544  
23,552  

Hancock Whitney Corporation

    901,924  
10,270  

Hanover Insurance Group, Inc.

    1,391,996  
40,437  

Home BancShares, Inc.

    760,013  
19,849  

Interactive Brokers Group, Inc.

    1,067,479  
15,002  

International Bancshares Corporation

    579,377  
41,300  

Janus Henderson Group plc

    927,598  
65,433  

Jefferies Financial Group, Inc.

    1,203,967  
16,259  

Kemper Corporation

    1,267,389  
21,172  

Legg Mason, Inc.

    808,559  
1,990  

LendingTree, Inc.a,b

    617,756  
7,042  

Mercury General Corporation

    393,507  
52,663  

Navient Corporation

    674,086  
121,344  

New York Community Bancorp, Inc.

    1,522,867  
73,999  

Old Republic International Corporation

    1,744,156  
30,691  

PacWest Bancorp

    1,115,311  
18,780  

Pinnacle Financial Partners, Inc.

    1,065,765  
10,874  

Primerica, Inc.

    1,383,499  
17,929  

Prosperity Bancshares, Inc.

    1,266,325  
16,295  

Reinsurance Group of America, Inc.

    2,605,245  
11,466  

RenaissanceRe Holdings, Ltd.

    2,218,098  
32,938  

SEI Investments Company

    1,951,741  
15,415  

Selective Insurance Group, Inc.

    1,159,054  
14,211  

Signature Bank

    1,694,235  
110,760  

SLM Corporation

    977,457  
53,277  

Sterling Bancorp

    1,068,737  
18,067  

Stifel Financial Corporation

    1,036,684  
40,067  

Synovus Financial Corporation

    1,432,796  
39,850  

TCF Financial Corporation

    1,517,090  
13,060  

Texas Capital Bancshares, Inc.a

    713,729  
16,721  

Trustmark Corporation

    570,353  
11,211  

UMB Financial Corporation

    724,006  
57,172  

Umpqua Holdings Corporation

    941,051  
26,450  

United Bankshares, Inc.

    1,001,662  
86,146  

Valley National Bancorp

    936,407  
37,572  

W.R. Berkley Corporation

    2,713,826  
20,615  

Washington Federal, Inc.

    762,549  
23,928  

Webster Financial Corporation

    1,121,505  
14,719  

Wintrust Financial Corporation

    951,289  
 

 

 
  Total     75,583,979  
 

 

 

Health Care (9.6%)

 
22,984  

Acadia Healthcare Company, Inc.a,b

    714,343  
43,269  

Allscripts Healthcare Solutions, Inc.a

    475,094  
8,354  

Amedisys, Inc.a

    1,094,458  
12,387  

Avanos Medical, Inc.a

    464,017  
5,580  

Bio-Rad Laboratories, Inc.a

    1,856,689  
9,883  

Bio-Techne Corporation

    1,933,807  
9,542  

Cantel Medical Corporation

    713,742  
37,913  

Catalent, Inc.a

    1,806,934  
12,672  

Charles River Laboratories International, Inc.a

    1,677,393  
4,134  

Chemed Corporation

    1,726,234  
25,280  

Covetrus, Inc.a,b

    300,579  
25,612  

Encompass Health Corporation

    1,620,727  
Shares   Common Stock (97.8%)   Value  

 

 

Health Care (9.6%) - continued

 
78,645  

Exelixis, Inc.a

    $1,390,837  
19,900  

Globus Medical, Inc.a

    1,017,288  
13,182  

Haemonetics Corporationa

    1,662,777  
18,376  

HealthEquity, Inc.a

    1,050,097  
17,348  

Hill-Rom Holdings, Inc.

    1,825,530  
4,990  

ICU Medical, Inc.a

    796,404  
18,432  

Integra LifeSciences Holdings Corporationa

    1,107,210  
4,936  

Ligand Pharmaceuticals, Inc.a

    491,329  
12,564  

LivaNova plca

    927,098  
12,738  

Masimo Corporationa

    1,895,287  
16,165  

Medidata Solutions, Inc.a

    1,479,098  
21,865  

Mednax, Inc.a

    494,586  
16,282  

Molina Healthcare, Inc.a

    1,786,461  
13,513  

NuVasive, Inc.a

    856,454  
22,328  

Patterson Companies, Inc.

    397,885  
8,311  

Penumbra, Inc.a,b

    1,117,746  
16,304  

PRA Health Sciences, Inc.a

    1,617,846  
13,044  

Prestige Consumer Healthcare, Inc.a

    452,496  
12,041  

Repligen Corporationa

    923,424  
21,988  

STERIS plc

    3,177,046  
16,202  

Syneos Health, Inc.a

    862,108  
26,859  

Tenet Healthcare Corporationa

    594,121  
11,385  

United Therapeutics Corporationa

    907,954  
19,148  

West Pharmaceutical Services, Inc.

    2,715,569  
 

 

 
  Total     43,930,668  
 

 

 

Industrials (15.8%)

 
10,359  

Acuity Brands, Inc.

    1,396,290  
40,952  

AECOMa

    1,538,157  
16,430  

AGCO Corporation

    1,243,751  
13,735  

ASGN, Inc.a

    863,382  
15,190  

Avis Budget Group, Inc.a

    429,269  
15,385  

Axon Enterprise, Inc.a

    873,560  
12,982  

Brink’s Company

    1,076,857  
14,697  

Carlisle Companies, Inc.

    2,139,001  
13,344  

Clean Harbors, Inc.a

    1,030,157  
21,691  

Colfax Corporationa

    630,340  
13,230  

Crane Company

    1,066,735  
11,094  

Curtiss-Wright Corporation

    1,435,231  
11,146  

Deluxe Corporation

    547,937  
33,111  

Donaldson Company, Inc.

    1,724,421  
8,177  

Dycom Industries, Inc.a

    417,436  
14,575  

EMCOR Group, Inc.

    1,255,199  
11,030  

EnerSys

    727,318  
36,330  

Fluor Corporation

    694,993  
9,269  

GATX Corporation

    718,626  
14,698  

Genesee & Wyoming, Inc.a

    1,624,276  
43,309  

Graco, Inc.

    1,993,946  
12,161  

Granite Construction, Inc.

    390,733  
19,243  

Healthcare Services Group, Inc.b

    467,412  
15,333  

Herman Miller, Inc.

    706,698  
11,132  

HNI Corporation

    395,186  
14,127  

Hubbell, Inc.

    1,856,288  
10,052  

Insperity, Inc.

    991,328  
22,848  

ITT Corporation

    1,398,069  
76,922  

JetBlue Airways Corporationa

    1,288,444  
34,655  

KAR Auction Services, Inc.

    850,780  
36,753  

KBR, Inc.

    901,919  
21,410  

Kennametal, Inc.

    658,143  
15,553  

Kirby Corporationa

    1,277,835  
31,875  

Knight-Swift Transportation Holdings, Inc.b

    1,157,063  
10,289  

Landstar System, Inc.

    1,158,336  
9,150  

Lennox International, Inc.

    2,223,176  
16,040  

Lincoln Electric Holdings, Inc.

    1,391,630  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

136


MID CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (97.8%)   Value  

 

 

Industrials (15.8%) - continued

 
15,537  

Manpower, Inc.

    $1,308,837  
15,652  

MasTec, Inc.a

    1,016,284  
9,249  

MSA Safety, Inc.

    1,009,158  
11,686  

MSC Industrial Direct Company, Inc.

    847,586  
13,285  

Nordson Corporation

    1,943,064  
28,248  

NOW, Inc.a

    324,005  
40,396  

nVent Electric plc

    890,328  
16,618  

Old Dominion Freight Line, Inc.

    2,824,561  
17,758  

Oshkosh Corporation

    1,346,056  
28,246  

Owens Corning, Inc.

    1,785,147  
10,888  

Regal-Beloit Corporation

    793,191  
31,878  

Resideo Technologies, Inc.a

    457,449  
13,848  

Ryder System, Inc.

    716,911  
23,658  

Stericycle, Inc.a,b

    1,204,902  
9,445  

Teledyne Technologies, Inc.a

    3,041,196  
17,007  

Terex Corporation

    441,672  
14,189  

Tetra Tech, Inc.

    1,231,038  
17,769  

Timken Company

    773,129  
27,678  

Toro Company

    2,028,797  
15,169  

Trex Company, Inc.a

    1,379,317  
26,561  

Trinity Industries, Inc.

    522,721  
5,617  

Valmont Industries, Inc.

    777,618  
8,468  

Watsco, Inc.

    1,432,616  
11,553  

Werner Enterprises, Inc.

    407,821  
14,612  

Woodward, Inc.

    1,575,612  
23,934  

XPO Logistics, Inc.a

    1,712,956  
 

 

 
  Total     72,331,894  
 

 

 

Information Technology (14.7%)

 
30,303  

ACI Worldwide, Inc.a

    949,241  
21,586  

Arrow Electronics, Inc.a

    1,609,884  
26,904  

Avnet, Inc.

    1,196,824  
10,031  

Belden, Inc.

    535,053  
12,767  

Blackbaud, Inc.

    1,153,371  
6,460  

CACI International, Inc.a

    1,493,940  
31,468  

CDK Global, Inc.

    1,513,296  
40,273  

Ciena Corporationa

    1,579,910  
15,096  

Cirrus Logic, Inc.a

    808,844  
44,310  

Cognex Corporation

    2,176,950  
6,227  

Coherent, Inc.a

    957,214  
10,792  

CommVault Systems, Inc.a

    482,510  
20,806  

CoreLogic, Inc.a

    962,694  
27,857  

Cree, Inc.a

    1,364,993  
95,888  

Cypress Semiconductor Corporation

    2,238,026  
7,503  

Fair Isaac Corporationa

    2,277,311  
19,702  

First Solar, Inc.a

    1,142,913  
22,496  

II-VI, Inc.a

    792,084  
8,082  

InterDigital, Inc.

    424,063  
12,066  

j2 Global, Inc.

    1,095,834  
36,132  

Jabil, Inc.

    1,292,442  
6,384  

Littelfuse, Inc.

    1,131,947  
17,562  

LiveRamp Holding, Inc.a

    754,463  
12,835  

LogMeIn, Inc.

    910,772  
19,966  

Lumentum Holdings, Inc.a

    1,069,379  
16,701  

Manhattan Associates, Inc.a

    1,347,270  
16,568  

MAXIMUS, Inc.

    1,280,044  
14,146  

MKS Instruments, Inc.

    1,305,393  
10,442  

Monolithic Power Systems, Inc.

    1,625,088  
30,818  

National Instruments Corporation

    1,294,048  
33,075  

NCR Corporationa

    1,043,847  
17,333  

NetScout Systems, Inc.a

    399,699  
35,817  

Perspecta, Inc.

    935,540  
8,426  

Plantronics, Inc.

    314,458  
26,914  

PTC, Inc.a

    1,834,996  
71,056  

Sabre Corporation

    1,591,299  
Shares   Common Stock (97.8%)   Value  

 

 

Information Technology (14.7%) - continued

 
12,734  

Science Applications International Corporation

    $1,112,315  
17,274  

Semtech Corporationa

    839,689  
11,254  

Silicon Laboratories, Inc.a

    1,253,133  
8,545  

Synaptics, Inc.a

    341,373  
10,609  

SYNNEX Corporation

    1,197,756  
9,244  

Tech Data Corporationa

    963,595  
29,625  

Teradata Corporationa

    918,375  
44,124  

Teradyne, Inc.

    2,555,221  
65,374  

Trimble, Inc.a

    2,537,165  
10,018  

Tyler Technologies, Inc.a

    2,629,725  
11,008  

Universal Display Corporation

    1,848,243  
28,363  

Versum Materials, Inc.

    1,501,254  
14,960  

ViaSat, Inc.a

    1,126,787  
34,362  

Vishay Intertechnology, Inc.

    581,749  
11,236  

WEX, Inc.a

    2,270,458  
14,050  

Zebra Technologies Corporationa

    2,899,498  
 

 

 
  Total     67,461,976  
 

 

 

Materials (5.9%)

 
32,735  

Allegheny Technologies, Inc.a

    662,884  
16,627  

AptarGroup, Inc.

    1,969,468  
15,714  

Ashland Global Holdings, Inc.

    1,210,764  
15,003  

Cabot Corporation

    679,936  
12,375  

Carpenter Technology Corporation

    639,292  
42,446  

Chemours Company

    634,143  
30,617  

Commercial Metals Company

    532,123  
8,798  

Compass Minerals International, Inc.

    496,999  
16,249  

Domtar Corporation

    581,877  
10,911  

Eagle Materials, Inc.

    982,099  
6,935  

Greif, Inc.

    262,767  
10,868  

Ingevity Corporationa

    922,041  
32,094  

Louisiana-Pacific Corporation

    788,870  
9,104  

Minerals Technologies, Inc.

    483,331  
1,917  

NewMarket Corporation

    904,997  
42,658  

Olin Corporation

    798,558  
40,362  

Owens-Illinois, Inc.

    414,518  
19,959  

PolyOne Corporation

    651,661  
17,306  

Reliance Steel & Aluminum Company

    1,724,716  
17,022  

Royal Gold, Inc.

    2,097,281  
33,667  

RPM International, Inc.

    2,316,626  
10,230  

Scotts Miracle-Gro Company

    1,041,619  
10,988  

Sensient Technologies Corporation

    754,326  
20,206  

Silgan Holdings, Inc.

    606,887  
25,984  

Sonoco Products Company

    1,512,529  
57,020  

Steel Dynamics, Inc.

    1,699,196  
44,331  

United States Steel Corporationb

    512,023  
48,861  

Valvoline, Inc.

    1,076,408  
9,622  

Worthington Industries, Inc.

    346,873  
 

 

 
  Total     27,304,812  
 

 

 

Real Estate (10.8%)

 
17,631  

Alexander & Baldwin, Inc.

    432,136  
35,675  

American Campus Communities, Inc.

    1,715,254  
77,332  

Brixmor Property Group, Inc.

    1,569,066  
25,140  

Camden Property Trust

    2,790,791  
30,922  

CoreCivic, Inc.

    534,332  
9,578  

CoreSite Realty Corporation

    1,167,079  
29,066  

Corporate Office Properties Trust

    865,585  
38,105  

Cousins Properties, Inc.

    1,432,367  
29,389  

CyrusOne, Inc.

    2,324,670  
42,750  

Douglas Emmett, Inc.

    1,830,983  
9,728  

EastGroup Properties, Inc.

    1,216,195  
20,137  

EPR Properties

    1,547,730  
32,841  

First Industrial Realty Trust, Inc.

    1,299,190  
31,481  

GEO Group, Inc.

    545,881  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

137


MID CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (97.8%)   Value  

 

 

Real Estate (10.8%) - continued

 
33,557  

Healthcare Realty Trust, Inc.

    $1,124,160  
26,931  

Highwoods Properties, Inc.

    1,210,279  
30,645  

JBG SMITH Properties

    1,201,590  
13,377  

Jones Lang LaSalle, Inc.

    1,860,206  
24,119  

Kilroy Realty Corporation

    1,878,629  
22,317  

Lamar Advertising Company

    1,828,432  
40,964  

Liberty Property Trust

    2,102,682  
12,112  

Life Storage, Inc.

    1,276,726  
23,511  

Mack-Cali Realty Corporation

    509,248  
115,874  

Medical Properties Trust, Inc.

    2,266,495  
44,563  

National Retail Properties, Inc.

    2,513,353  
56,225  

Omega Healthcare Investors, Inc.

    2,349,643  
33,917  

Pebblebrook Hotel Trust

    943,571  
17,444  

PotlatchDeltic Corporation

    716,687  
5,199  

PS Business Parks, Inc.

    945,958  
33,657  

Rayonier, Inc. REIT

    949,127  
49,205  

Sabra Health Care REIT, Inc.

    1,129,747  
61,725  

Senior Housing Property Trust

    571,265  
42,697  

Service Properties Trust

    1,101,156  
23,395  

Spirit Realty Capital, Inc.

    1,119,685  
24,287  

Tanger Factory Outlet Centers, Inc.

    375,963  
15,892  

Taubman Centers, Inc.

    648,870  
50,147  

Uniti Group, Inc.

    389,391  
29,887  

Urban Edge Properties

    591,464  
31,403  

Weingarten Realty Investors

    914,769  
 

 

 
  Total     49,790,355  
 

 

 

Utilities (4.8%)

 
13,412  

ALLETE, Inc.

    1,172,343  
56,024  

Aqua America, Inc.

    2,511,556  
15,854  

Black Hills Corporation

    1,216,477  
28,293  

Hawaiian Electric Industries, Inc.

    1,290,444  
13,085  

IDACORP, Inc.

    1,474,287  
51,683  

MDU Resources Group, Inc.

    1,456,944  
22,411  

National Fuel Gas Company

    1,051,524  
23,362  

New Jersey Resources Corporation

    1,056,430  
13,097  

NorthWestern Corporation

    982,930  
51,973  

OGE Energy Corporation

    2,358,535  
13,692  

ONE Gas, Inc.

    1,315,938  
20,681  

PNM Resources, Inc.

    1,077,066  
14,133  

Southwest Gas Holdings, Inc.

    1,286,668  
13,192  

Spire, Inc.

    1,150,870  
54,254  

UGI Corporation

    2,727,349  
 

 

 
  Total     22,129,361  
 

 

 
   
 

 

 
 

Total Common Stock

(cost $379,413,343)

    449,069,780  
 

 

 
Shares   Collateral Held for Securities Loaned
(2.7%)
  Value  

 

 
12,225,891  

Thrivent Cash Management Trust

    12,225,891  
 

 

 
  Total Collateral Held for Securities  
  Loaned  
  (cost $12,225,891)     12,225,891  
 

 

 
Shares or          
Principal          
Amount   Short-Term Investments (2.1%)   Value  

 

 
 

Federal Home Loan Bank Discount

 
 

Notes

 
500,000  

1.995%, 10/30/2019c,d

    499,243  
Shares or
Principal
Amount
  Short-Term Investments (2.1%)   Value  

 

 
 

Thrivent Core Short-Term Reserve Fund

 
905,656  

2.230%

    $9,056,555  
 

 

 
  Total Short-Term Investments (cost $9,555,752)     9,555,798  
 

 

 
  Total Investments (cost $401,194,986) 102.6%     $470,851,469  
 

 

 
  Other Assets and Liabilities, Net (2.6%)     (11,911,298
 

 

 
  Total Net Assets 100.0%     $458,940,171  
 

 

 

 

a

Non-income producing security.

b

All or a portion of the security is on loan.

c

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

d

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Mid Cap Index Portfolio as of September 30, 2019:

 

Securities Lending Transactions

  

Common Stock

     $12,090,791  

Total lending

     $12,090,791  
Gross amount payable upon return of collateral for securities loaned      $12,225,891  

Net amounts due to counterparty

     $135,100  

 

Definitions:

   

REIT

 

-

  Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

138


MID CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Mid Cap Index Portfolio’s assets carried at fair value.

 

Investments in Securities    Total        Level 1        Level 2        Level 3          

Common Stock

                 

Communications Services

     10,600,172          10,600,172                    

Consumer Discretionary

     57,518,578          57,518,578                    

Consumer Staples

     12,686,351          12,686,351                    

Energy

     9,731,634          9,731,634                    

Financials

     75,583,979          75,583,979                    

Health Care

     43,930,668          43,930,668                    

Industrials

     72,331,894          72,331,894                    

Information Technology

     67,461,976          67,461,976                    

Materials

     27,304,812          27,304,812                    

Real Estate

     49,790,355          49,790,355                    

Utilities

     22,129,361          22,129,361                    

Short-Term Investments

     499,243                   499,243           

Subtotal Investments in Securities

     $449,569,023          $449,069,780          $499,243          $–  

Other Investments *

     Total       

Affiliated Short-Term Investments

     9,056,555  

Collateral Held for Securities Loaned

     12,225,891  

Subtotal Other Investments

     $21,282,446  
          

Total Investments at Value

     $470,851,469  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments    Total                  Level 1                          Level 2                              Level 3            

Liability Derivatives

                 

Futures Contracts

   138,683      138,683           –    

Total Liability Derivatives

   $138,683      $138,683      $–      $–    

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

The following table presents Mid Cap Index Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $499,243 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description   

Number of

Contracts

    Long/(Short)    

         Expiration    
Date
         Notional Principal    
Amount
   Value and
    Unrealized    

CME E-mini S&P Mid-Cap 400 Index

     51            December 2019      $10,022,483    ($138,683)

Total Futures Long Contracts

                     $10,022,483    ($138,683)

Total Futures Contracts

                     $10,022,483    ($138,683)

 

Reference Description:

CME

     -     

Chicago Mercantile Exchange

S&P

     -     

Standard & Poor’s

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

139


MID CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.    

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Mid Cap Index Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
    

Shares Held at

9/30/2019

    

% of Net Assets

9/30/2019

 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $1,133        $41,404        $33,480        $9,057        906        2.0%  

Total Affiliated Short-Term Investments

     1,133                          9,057                 2.0  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     10,544        83,989        82,307        12,226        12,226        2.7  

Total Collateral Held for Securities Loaned

     10,544                          12,226                 2.7  

Total Value

     $11,677                          $21,283                    

 

Portfolio   

Net Realized

Gain/(Loss)

     Change in
Unrealized
Appreciation/
(Depreciation)
    

Distributions of
Realized Capital

Gains

    

    Income Earned    
    1/1/2019    

    - 9/30/2019    

 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $111      

Total Income from Affiliated Investments

                                $111      

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          32      

Total Affiliated Income from Securities Loaned, Net

                                $32      

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

140


MID CAP STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (95.4%)   Value  

 

 

Communications Services (4.1%)

 
762,900  

DISH Network Corporationa

    $25,992,003  
760,075  

Twitter, Inc.a

    31,315,090  
554,325  

Zillow Group, Inc.a

    16,377,532  
 

 

 
  Total     73,684,625  
 

 

 

Consumer Discretionary (8.5%)

 
577,580  

Etsy, Inc.a

    32,633,270  
163,575  

Lululemon Athletica, Inc.a

    31,493,095  
418,900  

Norwegian Cruise Line Holdings, Ltd.a

    21,686,453  
209,600  

RHa,b

    35,805,968  
805,236  

Toll Brothers, Inc.

    33,054,938  
 

 

 
  Total     154,673,724  
 

 

 

Consumer Staples (2.8%)

 
1,208,730  

Hain Celestial Group, Inc.a

    25,957,477  
444,875  

TreeHouse Foods, Inc.a

    24,668,319  
 

 

 
  Total     50,625,796  
 

 

 

Energy (3.6%)

 
199,400  

Diamondback Energy, Inc.

    17,928,054  
1,111,800  

EQT Corporation

    11,829,552  
2,060,675  

Patterson-UTI Energy, Inc.

    17,618,771  
1,695,910  

WPX Energy, Inc.a

    17,959,687  
 

 

 
  Total     65,336,064  
 

 

 

Financials (17.5%)

 
1,193,350  

Ally Financial, Inc.

    39,571,486  
1,031,200  

Assured Guaranty, Ltd.

    45,847,152  
874,450  

E*TRADE Financial Corporation

    38,204,720  
300,021  

First Republic Bank

    29,012,031  
320,200  

Hartford Financial Services Group, Inc.

    19,407,322  
2,277,300  

KeyCorp

    40,627,032  
35,540  

Markel Corporationa

    42,004,726  
1,094,150  

Radian Group, Inc.

    24,990,386  
872,700  

Zions Bancorporations NA

    38,852,604  
 

 

 
  Total     318,517,459  
 

 

 

Health Care (8.5%)

 
875,800  

Bausch Health Companies, Inc.a

    19,136,230  
225,075  

Edwards Lifesciences Corporationa

    49,496,243  
1,070,386  

Halozyme Therapeutics, Inc.a

    16,601,687  
180,875  

Jazz Pharmaceuticals, Inc.a

    23,177,323  
150,925  

Ligand Pharmaceuticals, Inc.a,b

    15,023,074  
205,003  

Universal Health Services, Inc.

    30,494,196  
 

 

 
  Total     153,928,753  
 

 

 

Industrials (13.9%)

 
388,150  

AGCO Corporation

    29,382,955  
697,875  

Altra Industrial Motion Corporation

    19,327,648  
238,425  

Huntington Ingalls Industries, Inc.

    50,496,031  
108,400  

Old Dominion Freight Line, Inc.

    18,424,748  
1,075,612  

Southwest Airlines Company

    58,093,804  
387,400  

United Airlines Holdings, Inc.a

    34,250,034  
273,880  

Verisk Analytics, Inc.

    43,311,383  
 

 

 
  Total     253,286,603  
 

 

 

Information Technology (17.2%)

 
884,148  

Advanced Micro Devices, Inc.a

    25,631,451  
648,550  

Akamai Technologies, Inc.a

    59,264,499  
240,450  

Alliance Data Systems Corporation

    30,808,858  
163,125  

ANSYS, Inc.a

    36,109,350  
675,900  

Ciena Corporationa

    26,515,557  
426,100  

DocuSign, Inc.a

    26,384,112  
240,850  

KLA-Tencor Corporation

    38,403,532  
Shares   Common Stock (95.4%)   Value  

 

 

Information Technology (17.2%) - continued

 
114,370  

Nice, Ltd. ADRa,b

    $16,446,406  
591,972  

Teradata Corporationa

    18,351,132  
594,572  

Teradyne, Inc.

    34,431,665  
 

 

 
  Total     312,346,562  
 

 

 

Materials (3.1%)

 
469,750  

Ball Corporation

    34,202,498  
775,163  

Steel Dynamics, Inc.

    23,099,857  
 

 

 
  Total     57,302,355  
 

 

 

Real Estate (9.3%)

 
230,000  

Alexandria Real Estate Equities, Inc.

    35,429,200  
360,350  

Camden Property Trust

    40,002,453  
183,750  

Digital Realty Trust, Inc.

    23,852,588  
836,800  

Duke Realty Corporation

    28,426,096  
1,122,748  

Host Hotels & Resorts, Inc.

    19,412,313  
421,675  

QTS Realty Trust, Inc.

    21,678,312  
 

 

 
  Total     168,800,962  
 

 

 

Utilities (6.9%)

 
576,650  

Alliant Energy Corporation

    31,098,734  
485,850  

CMS Energy Corporation

    31,070,108  
323,400  

Entergy Corporation

    37,954,224  
407,150  

Public Service Enterprise Group, Inc.

    25,275,872  
 

 

 
  Total     125,398,938  
 

 

 
   
 

 

 
  Total Common Stock
(cost $1,339,906,090)
    1,733,901,841  
 

 

 
Shares   Collateral Held for Securities Loaned
(2.7%)
  Value  

 

 
49,102,425  

Thrivent Cash Management Trust

    49,102,425  
 

 

 
  Total Collateral Held for Securities Loaned
(cost $49,102,425)
    49,102,425  
 

 

 
Shares   Short-Term Investments (4.6%)   Value  

 

 
 

Thrivent Core Short-Term Reserve Fund

 
8,320,902  

        2.230%

    83,209,020  
 

 

 
  Total Short-Term Investments (cost $83,209,020)     83,209,020  
 

 

 
  Total Investments (cost $1,472,217,535) 102.7%     $1,866,213,286  
 

 

 
  Other Assets and Liabilities, Net (2.7%)     (48,691,027
 

 

 
  Total Net Assets 100.0%     $1,817,522,259  
 

 

 

 

a

Non-income producing security.

b

All or a portion of the security is on loan.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Mid Cap Stock Portfolio as of September 30, 2019:

 

Securities Lending Transactions     

Common Stock

     $48,121,587  

Total lending

     $48,121,587  

Gross amount payable upon return of collateral for

securities loaned

     $49,102,425  

Net amounts due to counterparty

     $980,838  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

141


MID CAP STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Definitions:
         ADR   

-

  

American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.

    

 

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Mid Cap Stock Portfolio’s assets carried at fair value.

 

Investments in Securities    Total        Level 1        Level 2        Level 3  

Common Stock

                 

Communications Services

     73,684,625          73,684,625                    

Consumer Discretionary

     154,673,724          154,673,724                    

Consumer Staples

     50,625,796          50,625,796                    

Energy

     65,336,064          65,336,064                    

Financials

     318,517,459          318,517,459                    

Health Care

     153,928,753          153,928,753                    

Industrials

     253,286,603          253,286,603                    

Information Technology

     312,346,562          312,346,562                    

Materials

     57,302,355          57,302,355                    

Real Estate

     168,800,962          168,800,962                    

Utilities

     125,398,938          125,398,938                    

Subtotal Investments in Securities

     $1,733,901,841          $1,733,901,841          $–          $–  

Other Investments *

     Total                 

Affiliated Short-Term Investments

     83,209,020  

Collateral Held for Securities Loaned

     49,102,425  

Subtotal Other Investments

     $132,311,445  
          

Total Investments at Value

     $1,866,213,286  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Mid Cap Stock Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $68,916        $136,246        $121,953        $83,209        8,321        4.6%  

Total Affiliated Short-Term Investments

     68,916                          83,209                 4.6  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     16,828        285,860        253,586        49,102        49,102        2.7  

Total Collateral Held for Securities Loaned

     16,828                          49,102                 2.7  

Total Value

     $85,744                          $132,311                    

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

142


MID CAP STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
    

Income Earned
1/1/2019

- 9/30/2019

 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $1,013  

Total Income from Affiliated Investments

                                $1,013  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          39  

Total Affiliated Income from Securities Loaned, Net

                                $39  

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

143


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (1.6%)a   Value

Basic Materials (0.1%)

 
 

Arch Coal, Inc., Term Loan

 

$1,506,818

 

4.794%, (LIBOR 1M + 2.750%), 3/7/2024b

    $1,486,732  
 

Ball Metalpack Finco, LLC, Term Loan

 

706,063

 

6.624%, (LIBOR 3M + 4.500%), 7/31/2025b

    661,934  
 

Big River Steel, LLC, Term Loan

 

1,082,900

 

7.104%, (LIBOR 3M + 5.000%), 8/23/2023b,c

    1,072,071  
 

Chemours Company, Term Loan

 

1,507,050

 

3.800%, (LIBOR 1M + 1.750%), 4/3/2025b

    1,450,912  
 

MRC Global (US), Inc., Term Loan

 

1,310,000

 

5.044%, (LIBOR 1M + 3.000%), 9/22/2024b

    1,310,000  
 

Peabody Energy Corporation, Term Loan

 

1,068,725

 

4.794%, (LIBOR 1M + 2.750%), 3/31/2025b

    989,906  
 

Pixelle Specialty Solutions, LLC, Term Loan

 

853,550

 

8.044%, (LIBOR 1M + 6.000%), 10/31/2024b

    841,814  
 

Starfruit US Holdco, LLC, Term Loan

 

1,074,600

 

5.292%, (LIBOR 1M + 3.250%), 10/1/2025b,d,e

    1,050,959  
 

 

 
 

Total

    8,864,328  
 

 

 

Capital Goods (0.2%)

 
 

Advanced Disposal Services, Inc., Term Loan

 

1,015,440

 

4.197%, (LIBOR 1W + 2.250%), 11/10/2023b

    1,018,111  
 

BWAY Holding Company, Term Loan

 

3,717,462

 

5.590%, (LIBOR 3M + 3.250%), 4/3/2024b

    3,635,901  
 

Flex Acquisition Company, Inc. Term Loan

 

5,029,584

 

5.569%, (LIBOR 3M + 3.250%), 6/29/2025b

    4,836,247  
 

GFL Environmental, Inc., Term Loan

 

1,275,593

 

5.044%, (LIBOR 1M + 3.000%), 5/31/2025b

    1,264,202  
 

Sotera Health Holdings, LLC, Term Loan

 

3,316,243

 

5.044%, (LIBOR 1M + 3.000%), 5/15/2022b

    3,274,790  
 

TransDigm, Inc., Term Loan

 

1,567,045

 

4.544%, (LIBOR 1M + 2.500%), 6/9/2023b

    1,561,874  
 

Vertiv Group Corporation, Term Loan

 

3,135,969

 

6.044%, (LIBOR 1M + 4.000%), 11/15/2023b

    2,979,170  
 

 

 
 

Total

    18,570,295  
 

 

 

Communications Services (0.4%)

 
 

Altice France SA, Term Loan

 

865,087

 

4.794%, (LIBOR 1M + 2.750%), 7/31/2025b

    842,647  
 

CenturyLink, Inc., Term Loan

 

5,308,610

 

4.794%, (LIBOR 1M + 2.750%), 1/31/2025b

    5,270,282  
Principal
Amount
  Bank Loans (1.6%)a   Value

Communications Services (0.4%) - continued

 
 

Charter Communications Operating, LLC, Term Loan

 

$2,166,412

 

4.050%, (LIBOR 1M + 2.000%), 4/30/2025b

    $2,178,328  
 

Diamond Sports Group, LLC, Term Loan

 

1,365,000

 

5.300%, (LIBOR 1M + 3.250%), 8/24/2026b

    1,371,825  
 

Frontier Communications Corporation, Term Loan

 

3,104,550

 

5.800%, (LIBOR 1M + 3.750%), 6/15/2024b

    3,094,584  
 

HCP Acquisition, LLC, Term Loan

 

1,390,136

 

5.044%, (LIBOR 1M + 3.000%), 5/16/2024b

    1,387,703  
 

Intelsat Jackson Holdings SA, Term Loan

 

1,765,000

 

5.804%, (LIBOR 1M + 3.750%), 11/27/2023b

    1,768,865  
 

Liberty Cablevision of Puerto Rico, LLC, Term Loan

 

4,840,000

 

5.528%, (LIBOR 1M + 3.500%), 1/7/2022b,c

    4,821,850  

408,451

 

8.778%, (LIBOR 1M + 6.750%), 7/7/2023b,c

    402,324  
 

Mediacom Illinois, LLC, Term Loan

 

783,075

 

3.680%, (LIBOR 1W + 1.750%), 2/15/2024b

    784,054  
 

NEP Group, Inc., Term Loan

 

1,344,837

 

5.294%, (LIBOR 1M + 3.250%), 10/20/2025b

    1,317,658  

195,000

 

9.044%, (LIBOR 1M + 7.000%), 10/19/2026b

    190,451  
 

SBA Senior Finance II, LLC, Term Loan

 

1,135,625

 

4.050%, (LIBOR 1M + 2.000%), 4/11/2025b

    1,135,671  
 

Sprint Communications, Inc., Term Loan

 

3,943,875

 

4.563%, (LIBOR 1M + 2.500%), 2/3/2024b

    3,913,073  
 

TNS, Inc., Term Loan

 

1,554,170

 

6.260%, (LIBOR 3M + 4.000%), 8/14/2022b

    1,531,246  
 

WideOpenWest Finance, LLC, Term Loan

 

1,494,500

 

5.294%, (LIBOR 1M + 3.250%), 8/19/2023b

    1,440,325  
 

Windstream Services, LLC, Term Loan

 

2,551,366

 

10.000%, (PRIME + 5.000%), 3/30/2021b,f

    2,585,911  
 

 

 
 

Total

    34,036,797  
 

 

 

Consumer Cyclical (0.2%)

 
 

Cengage Learning, Inc., Term Loan

 

2,235,914

 

6.294%, (LIBOR 1M + 4.250%), 6/7/2023b

    2,111,083  
 

Four Seasons Hotels, Ltd., Term Loan

 

1,316,313

 

4.044%, (LIBOR 1M + 2.000%), 11/30/2023b

    1,321,986  
 

Golden Entertainment, Inc., Term Loan

 

2,692,350

 

5.060%, (LIBOR 1M + 3.000%), 10/20/2024b,c

    2,699,081  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

144


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (1.6%)a   Value

Consumer Cyclical (0.2%) - continued

 
 

Men’s Warehouse, Inc., Term Loan

 

$1,381,834

 

5.350%, (LIBOR 1M + 3.250%), 4/9/2025b,c

    $1,160,740  
 

Mohegan Gaming and Entertainment, Term Loan

 

1,870,757

 

6.044%, (LIBOR 1M + 4.000%), 10/13/2023b

    1,728,635  
 

Penn National Gaming, Inc., Term Loan

 

1,890,712

 

4.294%, (LIBOR 1M + 2.250%), 10/15/2025b

    1,898,653  
 

Scientific Games International, Inc., Term Loan

 

5,317,102

 

4.876%, (LIBOR 1M + 2.750%), 8/14/2024b

    5,267,281  
 

Staples, Inc., Term Loan

 

349,125

 

6.623%, (LIBOR 3M + 4.500%), 9/12/2024b

    344,471  

1,052,362

 

7.123%, (LIBOR 3M + 5.000%), 4/12/2026b

    1,036,798  
 

Stars Group Holdings BV, Term Loan

 

3,113,593

 

5.604%, (LIBOR 3M + 3.500%), 7/10/2025b

    3,125,269  
 

Tenneco, Inc., Term Loan

 

2,203,350

 

5.044%, (LIBOR 1M + 3.000%), 10/1/2025b

    2,065,641  
 

Wyndham Hotels & Resorts, Inc., Term Loan

 

915,750

 

3.794%, (LIBOR 1M + 1.750%), 5/30/2025b

    919,697  
 

 

 
 

Total

    23,679,335  
 

 

 

Consumer Non-Cyclical (0.3%)

 
 

Air Medical Group Holdings, Inc., Term Loan

 

5,840,222

 

5.307%, (LIBOR 1M + 3.250%), 4/28/2022b

    5,454,533  
 

Amneal Pharmaceuticals, LLC, Term Loan

 

1,485,840

 

5.563%, (LIBOR 1M + 3.500%), 5/4/2025b

    1,262,964  
 

Bausch Health Companies, Inc., Term Loan

 

2,575,314

 

5.039%, (LIBOR 1M + 3.000%), 6/1/2025b

    2,584,714  
 

Chobani, LLC, Term Loan

 

1,566,950

 

5.544%, (LIBOR 1M + 3.500%), 10/7/2023b

    1,552,267  
 

Endo International plc, Term Loan

 

2,282,438

 

6.313%, (LIBOR 1M + 4.250%), 4/27/2024b

    2,073,458  
 

Energizer Holdings, Inc., Term Loan

 

2,141,850

 

4.375%, (LIBOR 1M + 2.250%), 1/2/2026b

    2,140,522  
 

JBS USA LUX SA, Term Loan

 

1,766,125

 

4.544%, (LIBOR 1M + 2.500%), 5/1/2026b

    1,773,490  
 

Mallinckrodt International Finance SA, Term Loan

 

2,089,394

 

5.175%, (LIBOR 3M + 3.000%), 2/24/2025b

    1,555,554  
 

McGraw-Hill Global Education Holdings, LLC, Term Loan

 

4,045,932

 

6.044%, (LIBOR 1M + 4.000%), 5/4/2022b

    3,796,622  
Principal
Amount
  Bank Loans (1.6%)a   Value

Consumer Non-Cyclical (0.3%) - continued

 
 

Ortho-Clinical Diagnostics SA, Term Loan

 

$4,307,848

 

5.563%, (LIBOR 3M + 3.250%), 6/1/2025b

    $4,160,304  
 

Plantronics, Inc., Term Loan

 

4,002,601

 

4.544%, (LIBOR 1M + 2.500%), 7/2/2025b

    3,990,913  
 

R.R. Donnelly & Sons Company, Term Loan

 

279,296

 

7.044%, (LIBOR 3M + 5.000%), 1/15/2024b

    279,995  
 

 

 
 

Total

    30,625,336  
 

 

 

Energy (0.1%)

 
 

BCP Raptor II, LLC, Term Loan

 

538,650

 

6.794%, (LIBOR 1M + 4.750%), 12/19/2025b

    482,539  
 

Calpine Corporation, Term Loan

 

1,586,854

 

4.610%, (LIBOR 3M + 2.500%), 1/15/2024b

    1,589,901  
 

Consolidated Energy Finance SA, Term Loan

 

893,688

 

4.547%, (LIBOR 3M + 2.500%), 5/7/2025b,c

    864,643  
 

Fieldwood Energy, LLC, Term Loan

 

2,052,773

 

7.506%, (LIBOR 3M + 5.250%), 4/11/2022b

    1,774,499  
 

HFOTCO, LLC, Term Loan

 

3,288,375

 

4.800%, (LIBOR 1M + 2.750%), 6/26/2025b

    3,278,115  
 

McDermott Technology (Americas), Inc., Term Loan

 

2,194,087

 

7.104%, (LIBOR 3M + 5.000%), 5/10/2025b

    1,379,532  
 

Radiate Holdco, LLC, Term Loan

 

4,307,683

 

5.044%, (LIBOR 1M + 3.000%), 2/1/2024b

    4,288,083  
 

 

 
 

Total

    13,657,312  
 

 

 

Financials (0.2%)

 
 

Avolon TLB Borrower 1 US, LLC, Term Loan

 

1,745,603

 

3.794%, (LIBOR 1M + 1.750%), 1/15/2025b

    1,750,980  
 

Digicel International Finance, Ltd., Term Loan

 

3,188,317

 

5.340%, (LIBOR 3M + 3.250%), 5/27/2024b

    2,755,248  
 

DTZ U.S. Borrower, LLC, Term Loan

 

3,118,500

 

5.294%, (LIBOR 1M + 3.250%), 8/21/2025b

    3,120,059  
 

Genworth Holdings, Inc., Term Loan

 

398,925

 

6.670%, (LIBOR 2M + 4.500%), 3/7/2023b,c

    399,922  
 

GGP Nimbus, LLC, Term Loan

 

2,470,050

 

4.544%, (LIBOR 1M + 2.500%), 8/24/2025b

    2,434,556  
 

Grizzly Finco, Term Loan

 

1,707,750

 

5.569%, (LIBOR 3M + 3.250%), 10/1/2025b

    1,692,449  
 

Harland Clarke Holdings Corporation, Term Loan

 

2,493,818

 

6.854%, (LIBOR 3M + 4.750%), 11/3/2023b

    1,938,943  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

145


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (1.6%)a   Value
Financials (0.2%) - continued  
 

MoneyGram International, Inc., Term Loan

 

$1,182,038

 

8.044%, (LIBOR 1M + 6.000%), 6/30/2023b,c

    $1,111,115  
 

Sable International Finance, Ltd., Term Loan

 

3,389,333

 

5.294%, (LIBOR 2M + 3.250%), 1/31/2026b

    3,401,094  
 

Trans Union, LLC, Term Loan

 

972,688

 

0.000%, (LIBOR 3M + 2.000%), 6/19/2025b

    975,119  
 

Tronox Finance, LLC, Term Loan

 

2,270,358

 

4.817%, (LIBOR 1M + 2.750%), 9/22/2024b

    2,268,338  
  Total     21,847,823  
Technology (0.1%)  
 

Clear Channel Outdoor Holdings, Inc., Term Loan

 

1,075,000

 

5.544%, (LIBOR 1M + 3.500%), 8/23/2026b

    1,077,301  
 

Prime Security Services Borrower, LLC, Term Loan

 

2,730,000

 

0.000%, (LIBOR 1M + 3.250%), 9/23/2026b,d,e

    2,699,724  
 

Rackspace Hosting, Inc., Term Loan

 

3,723,140

 

5.287%, (LIBOR 3M + 3.000%), 11/3/2023b

    3,410,731  
 

SS&C Technologies Holdings Europe SARL, Term Loan

 

457,970

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    459,115  
 

SS&C Technologies, Inc., Term Loan

 

693,344

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    695,077  

1,484,825

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    1,490,082  
  Total     9,832,030  
Utilities (<0.1%)  
 

Core and Main, LP, Term Loan

 

1,252,687

 

4.863%, (LIBOR 1M + 2.750%), 8/1/2024b

    1,240,950  
 

EnergySolutions, LLC, Term Loan

 

1,027,000

 

5.854%, (LIBOR 3M + 3.750%), 5/11/2025b

    952,543  
 

TerraForm Power Operating, LLC, Term Loan

 
738,722  

4.044%, (LIBOR 1M + 2.000%), 11/8/2022b,c

    739,645  
  Total     2,933,138  
           
  Total Bank Loans
(cost $168,855,980)
    164,046,394  
Shares   Registered Investment Companies (37.5%)   Value
Unaffiliated (0.6%)  

11,610

 

Consumer Discretionary Select Sector SPDR Fund

    1,401,327  

198,000

 

Invesco Senior Loan ETF

    4,472,820  

13,897

 

iShares Russell 2000 Value Index Fund

    1,659,441  

20,980

 

Materials Select Sector SPDR Fund

    1,221,036  

16,590

 

ProShares Ultra S&P 500g

    2,130,985  
Shares   Registered Investment Companies
(37.5%)
  Value
Unaffiliated (0.6%) - continued  

117,307

 

SPDR S&P 500 ETF Trust

    $34,813,198  

44,923

 

SPDR S&P Biotech ETFg

    3,425,379  

26,860

 

SPDR S&P Metals & Mining ETF

    683,587  

12,779

 

SPDR S&P Retail ETF

    542,213  

61,040

 

VanEck Vectors Oil Services ETF

    717,220  

128,150

 

Vanguard Real Estate ETF

    11,949,988  
  Total     63,017,194  
Affiliated (36.9%)  

21,037,272

 

Thrivent Core Emerging Markets Debt Fund

    206,375,638  

10,367,405

 

Thrivent Core International Equity Fund

    97,557,281  

26,539,050

 

Thrivent Core Low Volatility Equity Fund

    321,653,286  

27,107,661

 

Thrivent Global Stock Portfolio

    348,761,751  

40,765,672

 

Thrivent High Yield Portfolio

    193,033,608  

57,029,710

 

Thrivent Income Portfolio

    603,254,571  

55,936,322

 

Thrivent International Allocation Portfolio

    530,074,963  

35,530,142

 

Thrivent Large Cap Value Portfolio

    632,265,981  

33,583,682

 

Thrivent Limited Maturity Bond Portfolio

    333,277,748  

20,466,490

 

Thrivent Mid Cap Stock Portfolio

    374,027,151  
5,622,490  

Thrivent Small Cap Stock Portfolio

    99,944,826  
  Total     3,740,226,804  
           
  Total Registered Investment Companies
(cost $3,345,429,222)
    3,803,243,998  
Principal
Amount
  Long-Term Fixed Income (29.8%)   Value
Asset-Backed Securities (1.1%)  
 

Access Group, Inc.

 

382,414

 

2.518%, (LIBOR 1M + 0.500%), 2/25/2036, Ser. 2013-1, Class Ab,h

    377,287  
 

Aimco

 

3,100,000

 

3.618%, (LIBOR 3M + 1.320%), 7/22/2032, Ser. 2019-10A, Class Ab,h

    3,099,665  
 

Ares CLO, Ltd.

 

4,250,000

 

3.703%, (LIBOR 3M + 1.400%), 10/17/2030, Ser. 2018-28RA, Class A2b,h

    4,196,675  
 

Ares XXXIIR CLO, Ltd.

 

2,750,000

 

3.098%, (LIBOR 3M + 0.940%), 5/15/2030, Ser. 2014-32RA, Class A1Ab,h

    2,712,831  
 

Benefit Street Partners CLO IV, Ltd.

 

3,100,000

 

4.028%, (LIBOR 3M + 1.750%), 1/20/2029, Ser. 2014-IVA, Class A2RRb,h

    3,098,524  
 

Betony CLO, Ltd.

 

1,260,000

 

3.346%, (LIBOR 3M + 1.080%), 4/30/2031, Ser. 2018-1A, Class A1b,h

    1,248,521  
 

Buttermilk Park CLO, Ltd.

 

7,100,000

 

3.703%, (LIBOR 3M + 1.400%), 10/15/2031, Ser. 2018-1A, Class A2b,h

    7,010,362  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

146


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
     Long-Term Fixed Income (29.8%)    Value  
 

Asset-Backed Securities (1.1%) - continued

  
  

Carlyle Global Market Strategies CLO, Ltd.

  
  $4,650,000     

3.753%, (LIBOR 3M + 1.450%), 7/15/2031, Ser. 2014-5A, Class A2RRb,h

   $ 4,592,586  
  

Carvana Auto Receivables Trust

  
  650,000     

2.340%, 6/15/2023, Ser. 2019-3A, Class A3h

     650,261  
  

CBAM, Ltd.

  
  4,500,000     

4.008%, (LIBOR 3M + 1.280%), 2/12/2030, Ser. 2019-9A, Class Ab,h

     4,503,982  
  

Colony American Finance Trust

  
  4,965,427     

2.835%, 6/15/2052, Ser. 2019-2, Class Ah

     5,056,715  
  

Commonbond Student Loan Trust

  
  1,104,708     

2.518%, (LIBOR 1M + 0.500%), 2/25/2044, Ser. 2018-AGS, Class A2b,h

     1,081,611  
  

DRB Prime Student Loan Trust

  
  265,583     

3.918%, (LIBOR 1M + 1.900%), 10/27/2031, Ser. 2015-B, Class A1b,h

     269,378  
  

Dryden Senior Loan Fund

  
  3,950,000     

3.700%, (LIBOR 3M + 1.400%), 7/18/2030, Ser. 2018-65A, Class A2b,h

     3,890,493  
  

Earnest Student Loan Program 2016-D, LLC

  
  1,101,507     

2.770%, 1/25/2041, Ser. 2016-D, Class A2h

     1,106,521  
  

Edlinc Student Loan Funding Trust

  
  16,490     

5.502%, (CMT 3M + 3.150%), 10/1/2025, Ser. 2012-A, Class ATb,h

     16,507  
  

Galaxy XX CLO, Ltd.

  
  4,500,000     

3.278%, (LIBOR 3M + 1.000%), 4/20/2031, Ser. 2015-20A, Class ARb,h

     4,455,509  
  

Golub Capital Partners, Ltd.

  
  2,500,000     

3.458%, (LIBOR 3M + 1.180%), 1/20/2031, Ser. 2015-22A, Class ARb,h

     2,479,398  
  3,683,000     

3.478%, (LIBOR 3M + 1.200%), 1/20/2031, Ser. 2015-23A, Class ARb,h

     3,666,412  
  

Goodgreen Trust

  
  4,404,682     

3.860%, 10/15/2054, Ser. 2019-1A, Class Ah

     4,664,719  
  

Home Partners of America Trust

  
  5,724,928     

2.908%, 9/17/2039, Ser. 2019-1, Class Ah

     5,817,958  
  5,750,000     

2.703%, 10/19/2039, Ser. 2019-2, Class Ah

     5,768,557  
  

Laurel Road Prime Student Loan Trust

  
  2,305,672     

2.810%, 11/25/2042, Ser. 2017-C, Class A2Bh

     2,334,339  
  

Lendmark Funding Trust

  
  1,800,000     

2.800%, 5/20/2026, Ser. 2017-2A, Class Ah

     1,799,318  
  

Madison Park Funding XIV, Ltd.

  
  2,825,000     

3.678%, (LIBOR 3M + 1.400%), 10/22/2030, Ser. 2014-14A, Class A2RRb,h

     2,789,275  
Principal
Amount
     Long-Term Fixed Income (29.8%)    Value  
 

Asset-Backed Securities (1.1%) - continued

  
  

Magnetite XII, Ltd.

  
  $4,425,000     

3.403%, (LIBOR 3M + 1.100%), 10/15/2031, Ser. 2015-12A, Class ARRb,h

   $ 4,411,429  
  

Mountain View CLO, Ltd.

  
  3,175,000     

3.423%, (LIBOR 3M + 1.120%), 7/15/2031, Ser. 2015-9A, Class A1Rb,h

     3,142,034  
  

National Collegiate Trust

  
  1,987,102     

2.313%, (LIBOR 1M + 0.295%), 5/25/2031, Ser. 2007-A, Class Ab,h

     1,930,559  
  

Neuberger Berman CLO XIV, Ltd.

  
  2,660,000     

3.506%, (LIBOR 3M + 1.250%), 1/28/2030, Ser. 2013-14A, Class ARb,h

     2,659,976  
  

Neuberger Berman CLO, Ltd.

  
  850,000     

3.458%, (LIBOR 3M + 1.180%), 4/22/2029, Ser. 2014-17A, Class ARb,h

     849,014  
  

Octagon Investment Partners XVI, Ltd.

  
  750,000     

3.703%, (LIBOR 3M + 1.400%), 7/17/2030, Ser. 2013-1A, Class A2Rb,h

     736,409  
  

OZLM VIII, Ltd.

  
  1,300,000     

3.473%, (LIBOR 3M + 1.170%), 10/17/2029, Ser. 2014-8A, Class A1RRb,h

     1,298,644  
  

Palmer Square Loan Funding, Ltd.

  
  4,033,798     

3.128%, (LIBOR 3M + 0.850%), 1/20/2027, Ser. 2018-5A, Class A1b,h

     4,030,345  
  2,200,000     

3.928%, (LIBOR 3M + 1.650%), 4/20/2027, Ser. 2019-1A, Class A2b,h

     2,199,960  
  

PPM CLO 3, Ltd.

  
  2,250,000     

3.874%, (LIBOR 3M + 1.400%), 7/17/2030, Ser. 2019-3A, Class Ab,h

     2,249,969  
  

Preston Ridge Partners Mortgage Trust, LLC

  
  327,365     

4.250%, 1/25/2022, Ser. 2017-1A, Class A1h,i

     328,076  
  

Race Point IX CLO, Ltd.

  
  3,000,000     

3.513%, (LIBOR 3M + 1.210%), 10/15/2030, Ser. 2015-9A, Class A1ARb,h

     2,999,967  
  

Saxon Asset Securities Trust

  
  1,204,048     

4.117%, 8/25/2035, Ser. 2004-2, Class MF2

     1,191,779  
  

Shackleton CLO, Ltd.

  
  3,000,000     

3.473%, (LIBOR 3M + 1.170%), 7/15/2031, Ser. 2015-7RA, Class A1b,h

     2,985,450  
  

SLM Student Loan Trust

  
  1,422,204     

2.418%, (LIBOR 1M + 0.400%), 3/25/2025, Ser. 2010-1, Class Ab

     1,379,615  
  

SoFi Professional Loan Program, LLC

  
  477,468     

2.420%, 3/25/2030, Ser. 2015-A, Class A2h

     477,487  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

147


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal

Amount

  Long-Term Fixed Income (29.8%)   Value

Asset-Backed Securities (1.1%) - continued

 

  TCW GEM II, Ltd.  

$3,900,000

 

3.908%, (LIBOR 3M + 1.750%), 2/15/2029, Ser. 2019-1A, Class AJb,h

    $3,901,416  
  U.S. Small Business Administration  

286,362

 

3.191%, 3/10/2024, Ser. 2014-10A, Class 1

    292,189  
 

Total

    113,751,722  

Basic Materials (0.3%)

 

 

Anglo American Capital plc

 

1,115,000

 

4.875%, 5/14/2025h

    1,211,130  
 

ArcelorMittal SA

 

368,000

 

6.125%, 6/1/2025

    414,151  
 

CF Industries, Inc.

 

1,820,000

 

3.450%, 6/1/2023

    1,847,300  
 

Dow Chemical Company

 

700,000

 

4.800%, 11/30/2028h

    790,951  
 

DowDuPont, Inc.

 

1,475,000

 

4.493%, 11/15/2025

    1,629,306  
 

First Quantum Minerals, Ltd.

 

1,880,000

 

7.500%, 4/1/2025h

    1,851,800  
 

Glencore Funding, LLC

 

760,000

 

4.125%, 5/30/2023h

    796,546  

950,000

 

4.000%, 3/27/2027h

    976,670  
 

International Paper Company

 

1,888,000

 

4.350%, 8/15/2048

    1,959,531  
 

Kinross Gold Corporation

 

770,000

 

5.950%, 3/15/2024

    857,048  

1,950,000

 

4.500%, 7/15/2027

    2,045,023  
 

Novelis Corporation

 

1,815,000

 

5.875%, 9/30/2026h

    1,903,481  
 

Olin Corporation

 

1,835,000

 

5.125%, 9/15/2027

    1,876,287  
 

Peabody Securities Finance Corporation

 

1,665,000

 

6.375%, 3/31/2025h

    1,645,236  
 

Syngenta Finance NV

 

1,375,000

 

3.933%, 4/23/2021h

    1,400,146  
 

Teck Resources, Ltd.

 

1,267,000

 

6.125%, 10/1/2035

    1,435,668  
 

Tronox Finance plc

 

1,050,000

 

5.750%, 10/1/2025h

    993,038  
 

Vale Overseas, Ltd.

 

1,135,000

 

6.250%, 8/10/2026

    1,308,088  

514,000

 

6.875%, 11/21/2036

    651,238  
 

Westlake Chemical Corporation

 

1,520,000

 

3.600%, 8/15/2026

    1,569,694  
 

Weyerhaeuser Company

 

1,500,000

 

4.000%, 11/15/2029

    1,630,858  
 

Total

    28,793,190  

Capital Goods (0.5%)

 

 

AECOM

 

720,000

 

5.875%, 10/15/2024

    782,640  

1,200,000

 

5.125%, 3/15/2027

    1,260,000  
 

Amsted Industries, Inc.

 

1,260,000

 

5.625%, 7/1/2027h

    1,329,300  
 

Ardagh Packaging Finance plc

 

1,810,000

 

6.000%, 2/15/2025h

    1,892,536  
 

Boeing Company

 

900,000

 

3.850%, 11/1/2048

    980,437  
 

Bombardier, Inc.

 

2,695,000

 

7.500%, 3/15/2025h

    2,691,631  
Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Capital Goods (0.5%) - continued

 

 

Building Materials Corporation of America

 

$1,855,000

 

6.000%, 10/15/2025h

    $1,944,893  
 

Cemex SAB de CV

 

1,740,000

 

6.125%, 5/5/2025h

    1,809,600  
 

Cintas Corporation No. 2

 

1,125,000

 

3.700%, 4/1/2027

    1,226,940  
 

CNH Industrial Capital, LLC

 

1,452,000

 

4.875%, 4/1/2021

    1,503,081  
 

CNH Industrial NV

 

915,000

 

3.850%, 11/15/2027

    943,112  
 

Covanta Holding Corporation

 

890,000

 

6.000%, 1/1/2027

    936,725  
 

Crown Cork & Seal Company, Inc.

 

1,670,000

 

7.375%, 12/15/2026

    2,029,050  
 

H&E Equipment Services, Inc.

 

1,150,000

 

5.625%, 9/1/2025

    1,183,810  
 

Ingersoll-Rand Luxembourg Finance SA

 

1,575,000

 

3.500%, 3/21/2026

    1,640,526  
 

L3Harris Technologies, Inc.

 

2,150,000

 

3.950%, 5/28/2024h

    2,281,757  
 

Lockheed Martin Corporation

 

1,496,000

 

3.600%, 3/1/2035

    1,613,657  

1,544,000

 

4.500%, 5/15/2036

    1,849,673  

374,000

 

6.150%, 9/1/2036

    517,733  
 

Northrop Grumman Corporation

 

2,575,000

 

3.850%, 4/15/2045

    2,837,834  
 

Owens-Brockway Glass Container, Inc.

 

1,460,000

 

5.000%, 1/15/2022h

    1,505,917  
 

Republic Services, Inc.

 

1,100,000

 

2.900%, 7/1/2026

    1,131,974  
 

Reynolds Group Issuer, Inc.

 

1,935,000

 

5.125%, 7/15/2023h

    1,980,956  
 

Rockwell Collins, Inc.

 

2,000,000

 

2.800%, 3/15/2022

    2,032,952  
 

Roper Technologies, Inc.

 

1,140,000

 

2.800%, 12/15/2021

    1,158,258  

605,000

 

3.650%, 9/15/2023

    635,158  

668,000

 

4.200%, 9/15/2028

    734,672  
 

Siemens Financieringsmaatschappij NV

 

1,055,000

 

4.200%, 3/16/2047h

    1,224,919  
 

Textron, Inc.

 

1,010,000

 

3.375%, 3/1/2028

    1,039,057  
 

United Rentals North America, Inc.

 

1,790,000

 

5.500%, 7/15/2025

    1,862,495  
 

United Technologies Corporation

 

1,850,000

 

4.450%, 11/16/2038

    2,202,604  

1,200,000

 

3.750%, 11/1/2046

    1,317,818  

1,900,000

 

4.050%, 5/4/2047

    2,188,087  
 

Total

    50,269,802  

Collateralized Mortgage Obligations (0.9%)

 
 

Ajax Mortgage Loan Trust

 

4,016,438

 

4.360%, 9/25/2065, Ser. 2018-C, Class Ab,h

    4,062,909  
 

Alternative Loan Trust

 

814,662

 

6.000%, 8/1/2036, Ser. 2006-24CB, Class A9

    684,335  
 

Angel Oak Mortgage Trust I, LLC

 

419,069

 

3.500%, 7/25/2046, Ser. 2016-1, Class A1h

    421,520  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

148


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
     Long-Term Fixed Income (29.8%)    Value  
 

Collateralized Mortgage Obligations (0.9%) - continued

 
  $2,403,422     

3.628%, 3/25/2049, Ser. 2019-2, Class A1b,h

   $ 2,437,006  
  

Bayview Koitere Fund Trust

  
  1,735,099     

4.000%, 11/28/2053, Ser. 2017-SPL3, Class Ab,h

     1,783,850  
  

Bellemeade Re, Ltd.

  

 

3,700,000

 

  

3.118%, (LIBOR 1M + 1.100%),

7/25/2029, Ser. 2019-3A, Class M1Ab,h

  

 

3,701,577

 

  

BRAVO Residential Funding Trust

  
  637,984     

3.500%, 3/25/2058, Ser. 2019-1, Class A1Ch

     650,325  
  

Citicorp Mortgage Securities, Inc.

  
  3,888,433     

6.000%, 7/25/2037, Ser. 2007-6, Class 1A4

     3,829,942  
  

Citigroup Mortgage Loan Trust, Inc.

  
  510,591     

5.500%, 11/25/2035, Ser. 2005-9, Class 21A2

     520,700  
  

COLT Funding, LLC

  
  1,117,722     

3.470%, 7/27/2048, Ser. 2018-2, Class A1b,h

     1,121,534  
  

Countrywide Alternative Loan Trust

  
  1,024,304     

3.666%, 10/25/2035, Ser. 2005-43, Class 4A1b

     947,349  
  1,143,607     

6.000%, 4/25/2036, Ser. 2006-4CB, Class 1A1

     923,559  
  321,402     

6.000%, 1/25/2037, Ser. 2006-39CB, Class 1A16

     320,651  
  2,181,878     

7.000%, 10/25/2037, Ser. 2007-24, Class A10

     1,324,186  
  

Countrywide Home Loans, Inc.

  
  579,454     

5.750%, 4/25/2037, Ser. 2007-3, Class A27

     474,030  
  

Credit Suisse Mortgage Trust

  
  5,067,725     

3.850%, 9/25/2057, Ser. 2018-RPL9, Class A1b,h

     5,259,423  
  

Deutsche Alt-A Securities, Inc., Mortgage Loan Trust

  
  356,353     

6.000%, 10/25/2021, Ser. 2006-AR5, Class 23A

     322,438  
  

Ellington Financial Mortgage Trust

  
  

4.140%, 10/25/2058, Ser.

  
  2,779,042     

2018-1, Class A1FXb,h

     2,814,015  
  

Federal Home Loan Mortgage Corporation

  
  3,664,183     

4.000%, 7/15/2031, Ser. 4104, Class KIj

     246,557  
  

Federal Home Loan Mortgage Corporation - REMIC

  
  17,400,000     

3.859%, 11/25/2028, Ser. K086, Class A2b,k

     19,673,174  
  2,651,178     

3.000%, 2/15/2033, Ser. 4170, Class IGj

     276,731  
  5,239,624     

3.000%, 3/15/2033, Ser. 4180, Class PIj

     533,089  
  

Federal National Mortgage Association - REMIC

  
  9,454,402     

3.000%, 12/25/2027, Ser. 2012-137, Class AIj

     685,977  
  

FWD Securitization Trust

  
  3,348,212     

2.810%, 6/25/2049, Ser. 2019-INV1, Class A1b,h

     3,361,400  
Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Collateralized Mortgage Obligations (0.9%) - continued

 

 

Galton Funding Mortgage Trust 2017-1

 

$3,670,474

 

4.500%, 10/25/2058, Ser. 2018-2, Class A41b,h

    $3,755,441  
 

GCAT Trust

 

281,436

 

2.985%, 2/25/2059, Ser. 2019-NQM1, Class A1h,i

    282,089  
 

GS Mortgage-Backed Securities Trust

 

1,436,152

 

2.625%, 1/25/2059, Ser. 2019-SL1, Class A1b,h

    1,426,864  
 

J.P. Morgan Alternative Loan Trust

 

1,214,637

 

6.500%, 3/25/2036, Ser. 2006-S1, Class 1A19

    1,016,293  
 

J.P. Morgan Mortgage Trust

 

308,728

 

4.507%, 6/25/2036, Ser. 2006-A4, Class 1A2b

    277,069  
 

MASTR Alternative Loans Trust

 

1,435,906

 

2.468%, (LIBOR 1M + 0.450%), 12/25/2035, Ser. 2005-6, Class 2A1b

    484,258  
 

Merrill Lynch Alternative Note Asset Trust

 

455,248

 

6.000%, 3/25/2037, Ser. 2007-F1, Class 2A1

    337,583  
 

Preston Ridge Partners Mortgage Trust, LLC

 

3,490,011

 

4.500%, 1/25/2024, Ser. 2019-1A, Class A1h,i

    3,514,674  
 

Pretium Mortgage Credit Partners, LLC

 

1,757,591

 

4.213%, 7/25/2060, Ser. 2019-NPL1, Class A1h,i

    1,772,168  
 

RCO Mortgage, LLC

 

1,337,152

 

4.270%, 12/26/2053, Ser. 2018-VFS1, Class A1b,h

    1,363,770  
 

Renaissance Home Equity Loan Trust

 

3,392,307

 

5.580%, 11/25/2036, Ser. 2006-3, Class AF2i

    1,786,369  
 

Residential Accredit Loans, Inc. Trust

 

1,502,421

 

6.000%, 8/25/2035, Ser. 2005-QS10, Class 2A

    1,513,074  
 

Sequoia Mortgage Trust

 

1,501,451

 

3.402%, 9/20/2046, Ser. 2007-1, Class 4A1b

    1,223,393  
 

Toorak Mortgage Corporation

 

250,000

 

4.458%, 3/25/2022, Ser. 2019-1, Class A1h,i

    254,018  

11,000,000

 

3.721%, 9/25/2022, Ser. 2019-2, Class A1i

    11,019,476  
 

Verus Securitization Trust

 

1,334,850

 

2.485%, 7/25/2047, Ser. 2017-2A, Class A1b,h

    1,327,542  

897,187

 

3.836%, 2/25/2059, Ser. 2019-1, Class A1b,h

    907,071  

670,940

 

3.211%, 4/25/2059, Ser. 2019-2, Class A1b,h

    674,617  

1,341,882

 

3.345%, 4/25/2059, Ser. 2019-2, Class A2b,h

    1,349,441  

4,391,878

 

2.913%, 7/25/2059, Ser. 2019-INV2, Class A1b,h

    4,403,625  
 

WaMu Mortgage Pass Through Certificates

 

140,180

 

3.811%, 9/25/2036, Ser. 2006-AR10, Class 1A2b

    135,069  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

149


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Collateralized Mortgage Obligations (0.9%) -

continued

 

$520,416

 

3.909%, 10/25/2036, Ser.
2006-AR12, Class 1A1b

    $511,288  
 

 

 
 

Total

    95,711,469  
 

 

 

Commercial Mortgage-Backed Securities (1.2%)

 
 

Benchmark 2019-B13 Mortgage Trust

 

5,000,000

 

2.952%, 8/15/2057, Ser.
2019-B13, Class A4e

    5,186,555  
 

CSAIL Commercial Mortgage Trust

 

5,900,000

 

3.504%, 6/15/2057, Ser.
2015-C2, Class A4

    6,253,425  
 

Federal Home Loan Mortgage Corporation Multifamily Structured Pass Through Certificates

 

1,750,000

 

3.422%, 2/25/2052, Ser.
K090, Class A2k

    1,927,170  

13,400,000

 

3.780%, 10/25/2028, Ser.
K084, Class A2b,k

    15,050,325  

12,250,000

 

3.505%, 3/25/2029, Ser.
K091, Class A2k

    13,578,967  

1,292,146

 

3.000%, 3/15/2045, Ser.
4741, Class GA

    1,328,623  
 

Federal National Mortgage Association

 

9,600,000

 

3.410%, 5/1/2028

    10,230,613  

5,700,000

 

3.640%, 6/1/2028

    6,136,380  

3,972,076

 

3.730%, 6/1/2028

    4,280,527  

2,400,000

 

3.710%, 7/1/2028

    2,581,918  
 

Federal National Mortgage Association - ACES

 

3,825,000

 

2.569%, 12/25/2026, Ser.
2017-M3, Class A2b

    3,900,517  

3,750,000

 

2.961%, 2/25/2027, Ser.
2017-M7, Class A2b

    3,935,935  

5,750,000

 

3.555%, 9/25/2028, Ser.
2019-M1, Class A2b

    6,356,680  

9,025,000

 

3.639%, 8/25/2030, Ser.
2018-M12, Class A2b

    10,098,958  
 

Federal National Mortgage Association Grantor Trust

 

7,562,088

 

2.898%, 6/25/2027, Ser.
2017-T1, Class Ak

    7,908,831  
 

GS Mortgage Securities Trust

 

3,468,863

 

3.801%, 1/10/2047, Ser.
2014-GC18, Class A3

    3,668,082  

6,600,000

 

3.666%, 9/10/2047, Ser.
2014-GC24, Class A4

    7,028,601  

2,000,000

 

3.244%, 10/10/2048, Ser.
2015-GC34, Class A3

    2,107,399  
 

UBS Commercial Mortgage Trust

 

3,525,000

 

2.921%, 9/15/2052, Ser.
2019-C17, Class A4e

    3,628,290  

5,500,000

 

4.241%, 6/15/2051, Ser.
2018-C11, Class A5b

    6,236,911  
 

Wells Fargo Commercial Mortgage Trust

 

4,000,000

 

3.617%, 9/15/2057, Ser.
2015-NXS3, Class A4

    4,286,778  
 

 

 
 

Total

    125,711,485  
 

 

 
Communications Services (0.9%)    
 

AMC Networks, Inc.

 

1,685,000

 

5.000%, 4/1/2024

    1,735,550  
Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Communications Services (0.9%) - continued

 
 

AT&T, Inc.

 

$1,825,000

 

4.350%, 3/1/2029

    $2,016,868  

1,037,000

 

4.300%, 2/15/2030

    1,141,274  

1,475,000

 

5.250%, 3/1/2037

    1,736,717  

2,210,000

 

4.900%, 8/15/2037

    2,511,065  

1,140,000

 

6.350%, 3/15/2040

    1,448,751  

1,300,000

 

5.550%, 8/15/2041

    1,551,757  

772,000

 

4.750%, 5/15/2046

    856,658  

1,630,000

 

5.450%, 3/1/2047

    1,969,304  
 

British Sky Broadcasting Group plc

 

1,450,000

 

3.125%, 11/26/2022h

    1,497,091  
 

British Telecommunications plc

 

1,475,000

 

4.500%, 12/4/2023

    1,586,463  
 

CCO Holdings, LLC

 

2,200,000

 

5.875%, 4/1/2024h

    2,295,612  

900,000

 

5.125%, 5/1/2027h

    939,375  
 

CCOH Safari, LLC

 

1,300,000

 

5.750%, 2/15/2026h

    1,371,500  
 

Charter Communications Operating, LLC

 

700,000

 

4.500%, 2/1/2024

    752,098  

1,800,000

 

4.200%, 3/15/2028

    1,894,940  

1,525,000

 

6.484%, 10/23/2045

    1,858,206  
 

Comcast Corporation

 

1,550,000

 

4.950%, 10/15/2058

    1,988,595  

800,000

 

4.049%, 11/1/2052

    890,241  

1,225,000

 

2.750%, 3/1/2023

    1,254,940  

900,000

 

3.950%, 10/15/2025

    979,918  

1,500,000

 

4.250%, 10/15/2030

    1,707,312  

1,265,000

 

4.400%, 8/15/2035

    1,476,536  

1,305,000

 

4.750%, 3/1/2044

    1,594,338  

550,000

 

4.600%, 8/15/2045

    661,494  
 

Cox Communications, Inc.

 

1,815,000

 

3.350%, 9/15/2026h

    1,875,007  

748,000

 

4.600%, 8/15/2047h

    821,429  
 

Crown Castle International Corporation

 

1,158,000

 

5.250%, 1/15/2023

    1,263,490  

1,496,000

 

3.200%, 9/1/2024

    1,541,706  
 

Discovery Communications, LLC

 

1,850,000

 

4.900%, 3/11/2026

    2,055,931  
 

Embarq Corporation

 

960,000

 

7.995%, 6/1/2036

    948,902  
 

Frontier Communications

 
 

Corporation

 

875,000

 

8.000%, 4/1/2027h

    922,854  
 

Gray Television, Inc.

 

1,865,000

 

5.875%, 7/15/2026h

    1,939,600  
 

Level 3 Communications, Inc.

 

2,270,000

 

5.375%, 1/15/2024

    2,315,059  
 

Level 3 Financing, Inc.

 

995,000

 

5.375%, 5/1/2025

    1,031,069  
 

Moody’s Corporation

 

1,045,000

 

2.750%, 12/15/2021

    1,058,793  
 

Neptune Finco Corporation

 

2,517,000

 

10.875%, 10/15/2025h

    2,850,377  
 

Netflix, Inc.

 

1,860,000

 

4.875%, 4/15/2028

    1,892,457  
 

Nexstar Escrow Corporation

 

1,403,000

 

5.625%, 8/1/2024h

    1,460,313  
 

Omnicom Group, Inc.

 

750,000

 

3.600%, 4/15/2026

    790,745  
 

Sirius XM Radio, Inc.

 

1,760,000

 

5.000%, 8/1/2027h

    1,815,352  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

150


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Communications Services (0.9%) - continued

 
 

Sprint Communications, Inc.

 

$2,025,000

 

6.000%, 11/15/2022

    $2,151,563  
 

Sprint Corporation

 

1,680,000

 

7.625%, 2/15/2025

    1,848,000  
 

Telefonica Emisiones SAU

 

900,000

 

4.570%, 4/27/2023

    970,141  

615,000

 

4.665%, 3/6/2038

    676,742  
 

Time Warner Entertainment Company, LP

 

1,691,000

 

8.375%, 3/15/2023

    2,002,209  
 

T-Mobile USA, Inc.

 

2,870,000

 

4.500%, 2/1/2026

    2,954,091  
 

Verizon Communications, Inc.

 

1,739,000

 

5.150%, 9/15/2023

    1,944,895  

1,876,000

 

3.376%, 2/15/2025

    1,981,384  

820,000

 

3.258%, (LIBOR 3M +
1.100%), 5/15/2025b

    832,674  

1,165,000

 

4.272%, 1/15/2036

    1,312,076  

2,992,000

 

4.862%, 8/21/2046

    3,658,361  

355,000

 

4.522%, 9/15/2048

    419,216  
 

Viacom, Inc.

 

735,000

 

4.250%, 9/1/2023

    779,474  

1,427,000

 

6.875%, 4/30/2036

    1,831,942  

1,140,000

 

5.850%, 9/1/2043

    1,402,035  
 

Virgin Media Secured Finance plc

 

1,815,000

 

5.250%, 1/15/2026h

    1,864,913  
 

Vodafone Group plc

 

1,600,000

 

4.875%, 6/19/2049

    1,782,697  
 

Walt Disney Company

 

2,505,000

 

6.400%, 12/15/2035h

    3,612,976  
 

 

 
 

Total

    94,325,076  
 

 

 

Consumer Cyclical (0.7%)

 
 

Allison Transmission, Inc.

 

2,000,000

 

5.000%, 10/1/2024h

    2,043,750  
 

Amazon.com, Inc.

 

1,870,000

 

3.875%, 8/22/2037

    2,148,570  

1,122,000

 

4.050%, 8/22/2047

    1,350,480  
 

American Honda Finance Corporation

 

1,600,000

 

2.150%, 9/10/2024

    1,591,195  
 

Brookfield Property REIT, Inc.

 

990,000

 

5.750%, 5/15/2026h

    1,034,550  
 

Brookfield Residential Properties, Inc.

 

1,615,000

 

6.250%, 9/15/2027h

    1,623,075  
 

Cinemark USA, Inc.

 

1,725,000

 

4.875%, 6/1/2023

    1,748,719  
 

D.R. Horton, Inc.

 

1,515,000

 

2.550%, 12/1/2020

    1,519,449  
 

Daimler Finance North America, LLC

 

150,000

 

2.837%, (LIBOR 3M +
0.550%), 5/4/2021b,h

    149,918  
 

Ford Motor Credit Company, LLC

 

570,000

 

3.200%, 1/15/2021

    570,748  

1,650,000

 

5.596%, 1/7/2022

    1,733,581  

575,000

 

3.374%, (LIBOR 3M + 1.270%),
3/28/2022b

    567,121  

1,650,000

 

2.979%, 8/3/2022

    1,633,708  
 

General Motors Company

 
 

3.034%, (LIBOR 3M +

 

1,500,000

 

0.900%), 9/10/2021b

    1,498,606  

1,800,000

 

5.000%, 10/1/2028

    1,913,598  
Principal
Amount
     Long-Term Fixed Income (29.8%)    Value  
 

Consumer Cyclical (0.7%) - continued

  
  

General Motors Financial Company, Inc.

  
  $772,000     

4.200%, 3/1/2021

   $ 788,632  
  1,635,000     

3.150%, 6/30/2022

     1,653,921  
  760,000     

3.950%, 4/13/2024

     782,078  
  

Hanesbrands, Inc.

  
  1,400,000     

4.875%, 5/15/2026h

     1,479,100  
  

Hilton Domestic Operating Company, Inc.

  
  1,790,000     

4.875%, 1/15/2030h

     1,889,971  
  

Home Depot, Inc.

  
  1,755,000     

5.400%, 9/15/2040

     2,336,601  
  1,140,000     

4.250%, 4/1/2046

     1,363,946  
  1,870,000     

3.900%, 6/15/2047

     2,142,439  
  

Hyundai Capital America

  
  2,250,000     

3.000%, 6/20/2022h

     2,267,096  
  

L Brands, Inc.

  
  880,000     

5.625%, 2/15/2022

     927,300  
  910,000     

6.694%, 1/15/2027

     894,075  
  

Landry’s, Inc.

  
  1,795,000     

6.750%, 10/15/2024h

     1,839,875  
  

Lear Corporation

  
  1,219,000     

5.250%, 1/15/2025

     1,259,177  
  

Lennar Corporation

  
  925,000     

4.125%, 1/15/2022

     946,969  
  1,895,000     

4.875%, 12/15/2023

     2,013,438  
  585,000     

4.500%, 4/30/2024

     616,298  
  

Live Nation Entertainment, Inc.

  
  585,000     

5.375%, 6/15/2022h

     592,313  
  1,300,000     

5.625%, 3/15/2026h

     1,382,875  
  

Macy’s Retail Holdings, Inc.

  
  2,000,000     

2.875%, 2/15/2023

     1,974,693  
  

Mastercard, Inc.

  
  1,070,000     

3.950%, 2/26/2048

     1,266,413  
  

Mattamy Group Corporation

  
  1,560,000     

6.500%, 10/1/2025h

     1,638,000  
  

McDonald’s Corporation

  
  1,755,000     

4.450%, 3/1/2047

     2,016,481  
  

MGM Resorts International

  
  1,940,000     

6.000%, 3/15/2023

     2,137,298  
  

Navistar International Corporation

  
  1,600,000     

6.625%, 11/1/2025h

     1,624,000  
  

New Red Finance, Inc.

  
  1,840,000     

4.250%, 5/15/2024h

     1,892,826  
  

Prime Security Services Borrower, LLC

  
  1,820,000     

5.750%, 4/15/2026h

     1,895,166  
  

Scientific Games International, Inc.

  
  910,000     

5.000%, 10/15/2025h

     938,938  
  

ServiceMaster Company, LLC

  
  1,700,000     

5.125%, 11/15/2024h

     1,763,750  
  

Six Flags Entertainment Corporation

  
  1,810,000     

4.875%, 7/31/2024h

     1,873,350  
  

Viking Cruises, Ltd.

  
  1,290,000     

5.875%, 9/15/2027h

     1,366,884  
  

Volkswagen Group of America Finance, LLC

  
  1,800,000     

4.250%, 11/13/2023h

     1,917,906  
  

Walmart, Inc.

  
  1,300,000     

3.250%, 7/8/2029

     1,405,017  
  

Yum! Brands, Inc.

  
  1,590,000     

5.000%, 6/1/2024h

     1,649,625  
  460,000     

4.750%, 1/15/2030h

     474,375  
  

 

 
  

Total

     72,137,894  
  

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

151


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Consumer Non-Cyclical (1.3%)

 
 

Abbott Laboratories

 

$380,000

 

2.900%, 11/30/2021

    $386,855  

665,000

 

3.400%, 11/30/2023

    699,089  

1,445,000

 

4.750%, 11/30/2036

    1,775,902  
 

AbbVie, Inc.

 

1,910,000

 

3.600%, 5/14/2025

    1,986,138  

726,000

 

4.700%, 5/14/2045

    775,618  
 

Albertson’s Companies, LLC

 

1,980,000

 

7.500%, 3/15/2026h

    2,202,750  
 

Allergan, Inc.

 

1,450,000

 

2.800%, 3/15/2023

    1,463,443  
 

Altria Group, Inc.

 

875,000

 

4.400%, 2/14/2026

    935,369  

3,350,000

 

5.800%, 2/14/2039

    3,884,651  
 

Amgen, Inc.

 

100,000

 

3.125%, 5/1/2025

    103,980  
 

Anheuser-Busch Companies, LLC

 

1,228,000

 

3.650%, 2/1/2026

    1,315,769  

3,040,000

 

4.700%, 2/1/2036

    3,515,886  
 

Anheuser-Busch InBev Worldwide, Inc.

 

3,525,000

 

4.750%, 4/15/2058

    4,104,532  

1,740,000

 

4.375%, 4/15/2038

    1,948,453  

415,000

 

4.600%, 4/15/2048

    478,390  
 

Anthem, Inc.

 

1,870,000

 

4.625%, 5/15/2042

    2,072,603  
 

B&G Foods, Inc.

 

625,000

 

5.250%, 9/15/2027

    639,125  
 

BAT Capital Corporation

 

1,122,000

 

3.222%, 8/15/2024

    1,135,562  

1,496,000

 

4.540%, 8/15/2047

    1,436,265  
 

Baxalta, Inc.

 

721,000

 

4.000%, 6/23/2025

    777,201  
 

Bayer U.S. Finance II, LLC

 

1,630,000

 

4.250%, 12/15/2025h

    1,740,222  
 

Becton, Dickinson and Company

 

1,594,000

 

3.734%, 12/15/2024

    1,686,825  

1,800,000

 

3.700%, 6/6/2027

    1,907,093  

1,122,000

 

4.669%, 6/6/2047

    1,325,932  
 

Boston Scientific Corporation

 

800,000

 

4.000%, 3/1/2028

    877,160  

1,140,000

 

7.375%, 1/15/2040

    1,734,472  
 

Bunge, Ltd. Finance Corporation

 

800,000

 

3.500%, 11/24/2020

    808,638  
 

Cargill, Inc.

 

1,650,000

 

3.250%, 5/23/2029h

    1,765,775  
 

Celgene Corporation

 

3,035,000

 

2.875%, 8/15/2020

    3,051,687  
 

Centene Corporation

 

2,050,000

 

4.750%, 1/15/2025

    2,104,325  
 

Cigna Corporation

 

405,000

 

3.193%, (LIBOR 3M +
0.890%), 7/15/2023b

    405,914  

1,200,000

 

4.125%, 11/15/2025

    1,292,144  

875,000

 

3.050%, 10/15/2027

    890,527  

1,500,000

 

4.800%, 8/15/2038

    1,685,417  
 

Clorox Company

 

2,175,000

 

3.100%, 10/1/2027

    2,269,129  
 

Conagra Brands, Inc.

 

725,000

 

3.800%, 10/22/2021

    748,179  

1,210,000

 

4.300%, 5/1/2024

    1,298,453  
 

Constellation Brands, Inc.

 

1,450,000

 

3.600%, 2/15/2028

    1,531,219  
 

CVS Health Corporation

 

714,000

 

3.700%, 3/9/2023

    743,150  
Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Consumer Non-Cyclical (1.3%) - continued

 

$400,000

 

4.000%, 12/5/2023

    $422,721  

1,780,000

 

4.100%, 3/25/2025

    1,900,676  

2,560,000

 

4.875%, 7/20/2035

    2,862,884  

1,955,000

 

4.780%, 3/25/2038

    2,155,196  

830,000

 

5.050%, 3/25/2048

    943,903  
 

EMD Finance, LLC

 

1,520,000

 

2.950%, 3/19/2022h

    1,538,129  
 

Energizer Holdings, Inc.

 

1,849,000

 

5.500%, 6/15/2025h

    1,914,325  
 

Express Scripts Holding Company

 

1,600,000

 

4.800%, 7/15/2046

    1,792,264  
 

HCA, Inc.

 

2,610,000

 

5.375%, 2/1/2025

    2,851,425  
 

Imperial Brands Finance plc

 

1,600,000

 

3.875%, 7/26/2029h

    1,612,755  
 

JBS USA Lux SA

 

1,900,000

 

5.500%, 1/15/2030h

    2,013,962  
 

JBS USA, LLC

 

930,000

 

5.750%, 6/15/2025h

    968,893  
 

Keurig Dr Pepper, Inc.

 

1,275,000

 

3.551%, 5/25/2021

    1,303,184  
 

Kimberly-Clark Corporation

 

1,900,000

 

3.900%, 5/4/2047

    2,180,134  
 

Kraft Foods Group, Inc.

 

1,544,000

 

5.000%, 6/4/2042

    1,592,707  
 

Kraft Heinz Foods Company

 

1,900,000

 

3.375%, 6/15/2021

    1,924,588  

1,575,000

 

4.875%, 10/1/2049h

    1,589,544  
 

Kroger Company

 

935,000

 

2.800%, 8/1/2022

    951,408  
 

Medtronic, Inc.

 

2,733,000

 

4.375%, 3/15/2035

    3,290,551  

105,000

 

4.625%, 3/15/2045

    134,759  
 

Merck & Company, Inc.

 

330,000

 

3.700%, 2/10/2045

    373,610  
 

Mondelez International Holdings Netherlands BV

 

1,570,000

 

2.000%, 10/28/2021h

    1,566,859  
 

Mylan, Inc.

 

450,000

 

3.125%, 1/15/2023h

    454,682  
 

Nestle Holdings, Inc.

 

850,000

 

3.900%, 9/24/2038h

    982,529  
 

Par Pharmaceutical, Inc.

 

910,000

 

7.500%, 4/1/2027h

    828,100  
 

Perrigo Finance Unlimited Company

 

987,000

 

4.900%, 12/15/2044

    924,320  
 

Post Holdings, Inc.

 

800,000

 

5.500%, 3/1/2025h

    838,000  
 

Reynolds American, Inc.

 

2,338,000

 

5.700%, 8/15/2035

    2,610,698  
 

Roche Holdings, Inc.

 

1,158,000

 

4.000%, 11/28/2044h

    1,381,051  
 

Shire Acquisitions Investments Ireland Designated Activity Company

 

2,262,000

 

2.400%, 9/23/2021

    2,272,487  
 

Simmons Foods, Inc.

 

1,950,000

 

5.750%, 11/1/2024h

    1,901,250  
 

Smithfield Foods, Inc.

 

1,770,000

 

2.700%, 1/31/2020h

    1,768,958  

1,060,000

 

2.650%, 10/3/2021h

    1,049,813  
 

Spectrum Brands, Inc.

 

1,580,000

 

5.750%, 7/15/2025

    1,648,714  
 

Tenet Healthcare Corporation

 

510,000

 

4.625%, 7/15/2024

    524,142  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

152


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Consumer Non-Cyclical (1.3%) - continued

 

$1,340,000

 

5.125%, 11/1/2027h

    $1,384,689  
 

Tyson Foods, Inc.

 

748,000

 

3.550%, 6/2/2027

    792,753  
 

UnitedHealth Group, Inc.

 

1,815,000

 

2.950%, 10/15/2027

    1,873,973  

3,450,000

 

4.625%, 7/15/2035

    4,181,424  
 

Valeant Pharmaceuticals International, Inc.

 

900,000

 

5.875%, 5/15/2023h

    911,250  
 

VRX Escrow Corporation

 

3,610,000

 

6.125%, 4/15/2025h

    3,745,375  
 

Zimmer Biomet Holdings, Inc.

 

1,300,000

 

3.550%, 4/1/2025

    1,365,037  
 

Zoetis, Inc.

 

2,490,000

 

4.700%, 2/1/2043

    2,987,555  
 

 

 
 

Total

    129,815,119  
 

 

 

Energy (1.0%)

 
 

Alliance Resource Operating Partners, LP

 

1,050,000

 

7.500%, 5/1/2025h

    1,036,875  
 

Antero Resources Corporation

 

310,000

 

5.125%, 12/1/2022

    272,025  

1,500,000

 

5.625%, 6/1/2023g

    1,297,500  
 

BP Capital Markets America, Inc.

 

415,000

 

3.119%, 5/4/2026

    433,211  
 

BP Capital Markets plc

 

1,085,000

 

3.535%, 11/4/2024

    1,152,099  

2,550,000

 

3.279%, 9/19/2027

    2,684,447  
 

Canadian Oil Sands, Ltd.

 

1,000,000

 

9.400%, 9/1/2021h

    1,116,307  
 

Cenovus Energy, Inc.

 

1,800,000

 

5.400%, 6/15/2047

    2,027,713  
 

Cheniere Corpus Christi Holdings, LLC

 

1,810,000

 

7.000%, 6/30/2024

    2,079,237  

1,695,000

 

5.875%, 3/31/2025

    1,885,687  
 

Cheniere Energy Partners, LP

 

1,930,000

 

5.625%, 10/1/2026

    2,048,019  
 

Chesapeake Energy Corporation

 

1,770,000

 

7.000%, 10/1/2024

    1,269,975  
 

ConocoPhillips

 

1,870,000

 

6.500%, 2/1/2039

    2,705,964  
 

Continental Resources, Inc.

 

1,012,000

 

5.000%, 9/15/2022

    1,020,916  

1,550,000

 

4.375%, 1/15/2028

    1,601,561  
 

Diamondback Energy, Inc.

 

1,230,000

 

4.750%, 11/1/2024

    1,259,213  

770,000

 

5.375%, 5/31/2025

    803,541  
 

El Paso Pipeline Partners Operating Company, LLC

 

1,120,000

 

4.300%, 5/1/2024

    1,197,890  
 

Enbridge Energy Partners, LP

 

1,840,000

 

5.875%, 10/15/2025

    2,143,483  
 

Enbridge, Inc.

 

1,285,000

 

2.900%, 7/15/2022

    1,309,392  
 

Energy Transfer Operating, LP

 

730,000

 

4.200%, 9/15/2023

    767,997  

1,600,000

 

6.000%, 6/15/2048

    1,891,434  
 

Energy Transfer Partners, LP

 

970,000

 

4.900%, 3/15/2035

    1,001,992  

800,000

 

5.150%, 2/1/2043

    831,495  
 

Eni SPA

 

1,500,000

 

4.000%, 9/12/2023h

    1,588,068  
Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Energy (1.0%) - continued

 
 

EnLink Midstream Partners, LP

 

$775,000

 

4.150%, 6/1/2025

    $718,813  

2,659,000

 

4.850%, 7/15/2026

    2,526,050  
 

EQM Midstream Partners LP

 

1,600,000

 

4.750%, 7/15/2023

    1,606,025  
 

EQT Corporation

 

425,000

 

4.875%, 11/15/2021

    435,970  
 

Hess Corporation

 

2,515,000

 

3.500%, 7/15/2024

    2,566,897  
 

Kinder Morgan Energy Partners, LP

 

1,150,000

 

3.500%, 3/1/2021

    1,167,358  

1,870,000

 

6.500%, 9/1/2039

    2,367,290  
 

Kinder Morgan, Inc.

 

50,000

 

6.500%, 9/15/2020

    51,964  
 

Magellan Midstream Partners, LP

 

1,070,000

 

5.000%, 3/1/2026

    1,201,281  
 

Marathon Oil Corporation

 

1,140,000

 

2.700%, 6/1/2020

    1,142,230  

1,250,000

 

6.600%, 10/1/2037

    1,555,757  
 

Marathon Petroleum Corporation

 

2,244,000

 

4.750%, 12/15/2023

    2,435,415  

846,000

 

6.500%, 3/1/2041

    1,053,520  
 

MPLX, LP

 

1,425,000

 

4.875%, 12/1/2024

    1,564,434  

2,244,000

 

4.875%, 6/1/2025

    2,468,919  
 

Nabors Industries, Inc.

 

1,195,000

 

5.750%, 2/1/2025

    884,300  
 

Newfield Exploration Company

 

1,725,000

 

5.625%, 7/1/2024

    1,903,110  
 

Noble Energy, Inc.

 

1,850,000

 

5.050%, 11/15/2044

    2,019,263  
 

Occidental Petroleum Corporation

 

1,796,000

 

4.850%, 3/15/2021

    1,857,010  

1,002,000

 

3.200%, 8/15/2026

    1,009,411  
 

Parsley Energy, LLC

 

1,405,000

 

5.625%, 10/15/2027h

    1,450,663  
 

Petrobras Global Finance BV

 

949,000

 

5.093%, 1/15/2030h

    989,949  
 

Phillips 66

 

1,450,000

 

3.900%, 3/15/2028

    1,563,461  
 

Pioneer Natural Resources Company

 

750,000

 

4.450%, 1/15/2026

    821,765  
 

Plains All American Pipeline, LP

 

1,690,000

 

5.000%, 2/1/2021

    1,733,718  
 

Precision Drilling Corporation

 

860,000

 

7.125%, 1/15/2026h

    795,500  
 

Sabine Pass Liquefaction, LLC

 

1,125,000

 

6.250%, 3/15/2022

    1,212,186  

1,300,000

 

5.625%, 4/15/2023

    1,412,648  

1,500,000

 

5.750%, 5/15/2024

    1,672,077  
 

Schlumberger Holdings Corporation

 

1,630,000

 

4.000%, 12/21/2025h

    1,738,063  
 

Southwestern Energy Company

 

1,780,000

 

7.500%, 4/1/2026

    1,548,600  
 

Suncor Energy, Inc.

 

990,000

 

3.600%, 12/1/2024

    1,043,753  
 

Sunoco, LP

 

860,000

 

5.500%, 2/15/2026

    897,556  

1,285,000

 

5.875%, 3/15/2028

    1,363,706  
 

Tallgrass Energy Partners, LP

 

2,860,000

 

5.500%, 1/15/2028h

    2,795,364  
 

Transocean Pontus, Ltd.

 

890,000

 

6.125%, 8/1/2025h

    903,350  
 

Transocean, Inc.

 

885,000

 

7.250%, 11/1/2025h

    779,906  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

153


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Energy (1.0%) - continued

 
 

W&T Offshore, Inc.

 

$965,000

 

9.750%, 11/1/2023h

    $921,208  
 

Western Gas Partners, LP

 

1,496,000

 

4.000%, 7/1/2022

    1,514,125  
 

Williams Companies, Inc.

 

1,815,000

 

7.500%, 1/15/2031

    2,386,898  
 

Williams Partners, LP

 

950,000

 

4.000%, 11/15/2021

    976,492  

560,000

 

3.600%, 3/15/2022

    575,238  

935,000

 

4.500%, 11/15/2023

    1,000,856  
 

Woodside Finance, Ltd.

 

1,825,000

 

3.650%, 3/5/2025h

    1,881,191  

735,000

 

3.700%, 3/15/2028h

    754,645  
 

WPX Energy, Inc.

 

1,645,000

 

5.750%, 6/1/2026

    1,686,125  
 

 

 
 

Total

    100,380,101  
 

 

 

Financials (2.3%)

 
 

ACE INA Holdings, Inc.

 

1,115,000

 

4.350%, 11/3/2045

    1,369,285  
 

AerCap Ireland Capital, Ltd.

 

1,870,000

 

5.000%, 10/1/2021

    1,966,121  

1,240,000

 

3.500%, 1/15/2025

    1,265,558  
 

Aircastle, Ltd.

 

1,700,000

 

5.000%, 4/1/2023

    1,820,687  
 

Ally Financial, Inc.

 

1,825,000

 

5.750%, 11/20/2025

    2,044,036  
 

American International Group, Inc.

 

60,000

 

4.125%, 2/15/2024

    64,213  

2,245,000

 

3.750%, 7/10/2025

    2,371,084  

2,085,000

 

3.900%, 4/1/2026

    2,220,442  
 

Aviation Capital Group, LLC

 

1,300,000

 

2.875%, 1/20/2022h

    1,305,298  
 

Avolon Holdings Funding, Ltd.

 

800,000

 

5.250%, 5/15/2024h

    856,560  
 

Banco Santander SA

 
 

3.460%, (LIBOR 3M +

 

1,400,000

 

1.120%), 4/12/2023b

    1,401,289  
 

Bank of America Corporation

 

700,000

 

3.499%, 5/17/2022b

    713,865  

1,280,000

 

3.300%, 1/11/2023

    1,323,283  

1,490,000

 

2.881%, 4/24/2023b

    1,512,433  

1,520,000

 

4.000%, 4/1/2024

    1,630,955  

1,800,000

 

4.200%, 8/26/2024

    1,930,745  

2,070,000

 

4.000%, 1/22/2025

    2,198,880  

1,800,000

 

3.458%, 3/15/2025b

    1,878,080  

1,825,000

 

3.093%, 10/1/2025b

    1,879,793  

2,244,000

 

4.183%, 11/25/2027

    2,414,430  

1,550,000

 

3.824%, 1/20/2028b

    1,665,731  

950,000

 

3.194%, 7/23/2030b

    980,326  
 

Bank of Nova Scotia

 

1,550,000

 

2.700%, 3/7/2022

    1,577,112  
 

Barclays Bank plc

 

386,000

 

10.179%, 6/12/2021h

    431,679  
 

Barclays plc

 

2,415,000

 

3.250%, 1/12/2021

    2,432,494  

1,575,000

 

4.610%, 2/15/2023b

    1,636,220  

83,000

 

3.650%, 3/16/2025

    84,942  
 

Boston Properties, LP

 

950,000

 

4.500%, 12/1/2028

    1,080,878  
 

BPCE SA

 

975,000

 

3.000%, 5/22/2022h

    989,380  

2,541,000

 

3.500%, 10/23/2027h

    2,645,172  
 

Camden Property Trust

 

1,975,000

 

3.150%, 7/1/2029

    2,055,476  
Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Financials (2.3%) - continued

 
 

Capital One Financial Corporation

 

$1,520,000

 

3.050%, 3/9/2022

    $1,550,302  

1,800,000

 

4.200%, 10/29/2025

    1,918,357  
 

Capital One NA

 

1,600,000

 

2.150%, 9/6/2022

    1,598,644  
 

CIT Group, Inc.

 

1,770,000

 

5.000%, 8/15/2022

    1,875,138  
 

Citigroup, Inc.

 

150,000

 

2.750%, 4/25/2022

    152,238  

850,000

 

4.050%, 7/30/2022

    889,865  

1,075,000

 

3.142%, 1/24/2023b

    1,094,922  

2,515,000

 

4.400%, 6/10/2025

    2,704,095  

1,520,000

 

3.200%, 10/21/2026

    1,569,216  

2,244,000

 

3.668%, 7/24/2028b

    2,375,110  

1,140,000

 

4.125%, 7/25/2028

    1,227,342  

1,815,000

 

3.520%, 10/27/2028b

    1,901,305  

978,000

 

4.650%, 7/23/2048

    1,196,927  
 

CNA Financial Corporation

 

650,000

 

3.900%, 5/1/2029

    702,446  
 

Comerica, Inc.

 

45,000

 

3.700%, 7/31/2023

    47,252  
 

Commerzbank AG

 

1,850,000

 

8.125%, 9/19/2023h

    2,157,448  
 

Compass Bank

 

1,350,000

 

3.500%, 6/11/2021

    1,372,284  
 

Cooperatieve Centrale Raiffeisen- Boerenleenbank BA

 

1,975,000

 

3.950%, 11/9/2022

    2,057,114  

988,000

 

4.625%, 12/1/2023

    1,062,293  
 

Credit Suisse Group AG

 

900,000

 

7.250%, 9/12/2025b,h,l

    963,000  

1,385,000

 

3.869%, 1/12/2029b,h

    1,458,789  
 

Credit Suisse Group Funding (Guernsey), Ltd.

 

236,000

 

3.125%, 12/10/2020

    238,207  
 

Credit Suisse Group Funding, Ltd.

 

1,544,000

 

3.750%, 3/26/2025

    1,622,509  
 

Danske Bank AS

 

1,225,000

 

3.244%, 12/20/2025b,h

    1,234,988  
 

Deutsche Bank AG

 

876,000

 

2.700%, 7/13/2020

    874,199  

2,300,000

 

3.375%, 5/12/2021

    2,293,354  

950,000

 

4.250%, 10/14/2021

    963,706  

300,000

 

4.875%, 12/1/2032b

    271,614  
 

Discover Bank

 

1,750,000

 

8.700%, 11/18/2019

    1,763,534  

900,000

 

2.450%, 9/12/2024

    897,559  

1,670,000

 

4.682%, 8/9/2028b

    1,745,976  
 

Duke Realty, LP

 

330,000

 

3.875%, 2/15/2021

    336,757  

960,000

 

4.375%, 6/15/2022

    1,008,564  
 

ERP Operating, LP

 

337,000

 

3.375%, 6/1/2025

    356,235  
 

Fidelity National Financial, Inc.

 

1,300,000

 

5.500%, 9/1/2022

    1,395,123  
 

Fifth Third Bancorp

 

1,200,000

 

2.600%, 6/15/2022

    1,212,887  
 

Five Corners Funding Trust

 

3,070,000

 

4.419%, 11/15/2023h

    3,319,108  
 

GE Capital International Funding Company

 

5,580,000

 

4.418%, 11/15/2035

    5,852,923  
 

Goldman Sachs Group, Inc.

 

2,600,000

 

5.375%, 5/10/2020b,l

    2,619,500  

2,863,000

 

5.250%, 7/27/2021

    3,016,772  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

154


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Financials (2.3%) - continued

 

$2,150,000

 

2.876%, 10/31/2022b

    $2,174,897  

1,496,000

 

2.908%, 6/5/2023b

    1,515,680  

1,000,000

 

3.625%, 2/20/2024

    1,049,084  

2,600,000

 

3.691%, 6/5/2028b

    2,729,629  

1,130,000

 

4.750%, 10/21/2045

    1,358,889  
 

HCP, Inc.

 

642,000

 

4.000%, 12/1/2022

    672,241  

660,000

 

3.400%, 2/1/2025

    684,386  
 

HSBC Holdings plc

 

2,675,000

 

3.400%, 3/8/2021

    2,715,927  

1,475,000

 

6.875%, 6/1/2021b,l

    1,547,275  

1,225,000

 

2.650%, 1/5/2022

    1,233,791  

1,850,000

 

3.803%, 3/11/2025b

    1,927,260  

1,460,000

 

3.900%, 5/25/2026

    1,548,366  
 

Icahn Enterprises, LP

 

345,000

 

6.750%, 2/1/2024

    358,800  

1,215,000

 

6.375%, 12/15/2025

    1,277,588  
 

ING Groep NV

 

1,125,000

 

3.150%, 3/29/2022

    1,150,385  

1,300,000

 

4.100%, 10/2/2023

    1,380,079  
 

International Lease Finance Corporation

 

750,000

 

5.875%, 8/15/2022

    821,736  
 

Iron Mountain, Inc.

 

1,090,000

 

6.000%, 8/15/2023

    1,115,724  
 

J.P. Morgan Chase & Company

 

900,000

 

2.295%, 8/15/2021

    902,388  

1,950,000

 

2.700%, 5/18/2023

    1,983,446  

825,000

 

3.513%, (LIBOR 3M +
1.230%), 10/24/2023b

    838,081  

1,320,000

 

3.625%, 5/13/2024

    1,398,742  

1,550,000

 

3.875%, 9/10/2024

    1,651,372  

2,585,000

 

3.125%, 1/23/2025

    2,678,504  

3,200,000

 

3.900%, 7/15/2025

    3,452,871  

1,475,000

 

4.203%, 7/23/2029b

    1,638,801  

1,150,000

 

4.452%, 12/5/2029b

    1,300,830  

2,240,000

 

3.882%, 7/24/2038b

    2,459,805  
 

Kimco Realty Corporation

 

2,992,000

 

3.300%, 2/1/2025

    3,086,102  
 

Liberty Mutual Group, Inc.

 

760,000

 

4.950%, 5/1/2022h

    805,647  
 

Lloyds Bank plc

 
 

2.699%, (LIBOR 3M +

 

850,000

 

0.490%), 5/7/2021b

    849,913  
 

Lloyds Banking Group plc

 

1,815,000

 

2.907%, 11/7/2023b

    1,818,598  
 

Marsh & McLennan Companies, Inc.

 

1,300,000

 

3.875%, 3/15/2024

    1,385,852  
 

MassMutual Global Funding

 

1,230,000

 

2.750%, 6/22/2024h

    1,258,716  
 

MetLife, Inc.

 

1,300,000

 

4.050%, 3/1/2045

    1,454,367  
 

Mitsubishi UFJ Financial Group, Inc.

 

2,160,000

 

3.455%, 3/2/2023

    2,235,632  

1,870,000

 

3.287%, 7/25/2027

    1,955,453  
 

Morgan Stanley

 

760,000

 

5.550%, 7/15/2020b,l

    770,526  

899,000

 

3.458%, (LIBOR 3M +
1.180%), 1/20/2022b

    907,709  

1,683,000

 

2.750%, 5/19/2022

    1,707,212  

670,000

 

4.875%, 11/1/2022

    718,473  

1,450,000

 

3.125%, 1/23/2023

    1,487,432  

1,925,000

 

4.350%, 9/8/2026

    2,086,949  

2,244,000

 

3.591%, 7/22/2028b

    2,366,909  

1,440,000

 

3.772%, 1/24/2029b

    1,538,970  
Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

Financials (2.3%) - continued

 
 

MPT Operating Partnership, LP

 

$870,000

 

6.375%, 3/1/2024

    $912,012  

990,000

 

4.625%, 8/1/2029

    1,019,700  
 

Nasdaq, Inc.

 

55,000

 

3.850%, 6/30/2026

    58,944  
 

Nationwide Building Society

 

950,000

 

3.622%, 4/26/2023b,h

    968,504  
 

New York Life Global Funding

 

1,120,000

 

2.300%, 6/10/2022h

    1,126,280  
 

Park Aerospace Holdings, Ltd.

 

800,000

 

4.500%, 3/15/2023h

    827,840  
 

Prudential Financial, Inc.

 

1,250,000

 

3.700%, 3/13/2051

    1,291,927  
 

Quicken Loans, Inc.

 

1,905,000

 

5.750%, 5/1/2025h

    1,964,531  
 

Realty Income Corporation

 

1,475,000

 

4.125%, 10/15/2026

    1,624,932  
 

Regency Centers, LP

 

2,100,000

 

4.125%, 3/15/2028

    2,280,441  
 

Reinsurance Group of America, Inc.

 

1,100,000

 

4.700%, 9/15/2023

    1,188,698  

1,000,000

 

3.900%, 5/15/2029

    1,064,261  
 

Royal Bank of Scotland Group plc

 

525,000

 

6.125%, 12/15/2022

    568,067  

650,000

 

6.100%, 6/10/2023

    707,978  

1,000,000

 

3.875%, 9/12/2023

    1,032,001  

1,745,000

 

5.125%, 5/28/2024

    1,860,202  

1,550,000

 

4.269%, 3/22/2025b

    1,621,068  

1,375,000

 

4.445%, 5/8/2030b

    1,472,678  
 

Santander UK Group Holdings plc

 

1,351,000

 

2.875%, 10/16/2020

    1,355,237  
 

Simon Property Group, LP

 

1,400,000

 

2.750%, 2/1/2023

    1,428,389  

1,520,000

 

4.250%, 11/30/2046

    1,756,243  
 

SITE Centers Corporation

 

498,000

 

4.625%, 7/15/2022

    520,552  
 

Societe Generale SA

 

1,122,000

 

4.750%, 11/24/2025h

    1,205,323  
 

Sumitomo Mitsui Financial Group, Inc.

 

1,280,000

 

2.784%, 7/12/2022

    1,299,055  

1,090,000

 

3.102%, 1/17/2023

    1,117,732  

1,140,000

 

3.010%, 10/19/2026

    1,171,648  
 

Synchrony Financial

 

590,000

 

4.250%, 8/15/2024

    622,493  

1,850,000

 

3.950%, 12/1/2027

    1,896,837  
 

UBS Group Funding Jersey, Ltd.

 

1,158,000

 

4.125%, 9/24/2025h

    1,251,229  
 

UBS Group Funding Switzerland AG

 

110,000

 

3.491%, 5/23/2023h

    112,922  
 

Ventas Realty, LP

 

1,550,000

 

3.100%, 1/15/2023

    1,590,032  

1,790,000

 

4.000%, 3/1/2028

    1,921,477  
 

Voya Financial, Inc.

 

2,618,000

 

3.125%, 7/15/2024

    2,703,058  
 

Wells Fargo & Company

 

1,680,000

 

2.625%, 7/22/2022

    1,698,691  

1,520,000

 

3.450%, 2/13/2023

    1,570,148  

1,550,000

 

4.125%, 8/15/2023

    1,644,634  

1,320,000

 

3.000%, 2/19/2025

    1,355,386  

125,000

 

3.000%, 4/22/2026

    128,195  

1,475,000

 

3.000%, 10/23/2026

    1,512,692  

2,680,000

 

4.900%, 11/17/2045

    3,207,965  
 

Welltower, Inc.

 

610,000

 

3.950%, 9/1/2023

    646,184  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

155


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

 

 

Financials (2.3%) - continued

 
 

ZB NA

 

$1,550,000

 

3.500%, 8/27/2021

    $1,583,792  
  Total     233,535,064  

Foreign Government (<0.1%) 

 
 

Kommunalbanken AS

 

1,270,000

 

1.500%, 10/22/2019h

    1,269,505  
  Total     1,269,505  

Mortgage-Backed Securities (8.5%) 

 
 

Federal National Mortgage Association

 

3,742,853

 

3.230%, 11/1/2020

    3,758,307  
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

57,000,000

 

2.500%, 10/1/2034e

    57,490,957  

98,950,000

 

3.500%, 10/1/2034e

    102,343,675  

201,353,000

 

3.000%, 10/1/2034e

    205,844,116  
 

Federal National Mortgage Association Conventional 30-Yr. Pass Through

 

880,475

 

4.165%, (LIBOR 12M + 1.540%), 7/1/2043b

    907,711  
 

4.321%, (LIBOR 12M +

 

571,900

 

1.550%), 7/1/2043b

    592,553  
 

4.082%, (LIBOR 12M +

 

273,013

 

1.530%), 8/1/2043b

    281,646  

183,477,000

 

3.500%, 10/1/2049e

    188,243,101  

295,455,000

 

3.000%, 10/1/2049e

    299,956,071  
  Total     859,418,137  

Technology (0.6%) 

 
 

Apple, Inc.

 

1,500,000

 

3.200%, 5/11/2027

    1,591,008  

1,405,000

 

3.000%, 11/13/2027

    1,476,314  

2,570,000

 

3.750%, 9/12/2047

    2,862,346  
 

Applied Materials, Inc.

 

736,000

 

3.300%, 4/1/2027

    783,309  
 

Avnet, Inc.

 

1,100,000

 

3.750%, 12/1/2021

    1,122,623  
 

Broadcom Corporation

 

1,146,000

 

3.875%, 1/15/2027

    1,151,924  

1,350,000

 

3.500%, 1/15/2028

    1,317,109  
 

CommScope Technologies Finance, LLC

 

1,930,000

 

6.000%, 6/15/2025h

    1,741,825  
 

Dell International, LLC/EMC Corporation

 

575,000

 

4.000%, 7/15/2024h

    601,434  
 

Diamond 1 Finance Corporation

 

1,870,000

 

5.450%, 6/15/2023h

    2,036,286  

2,860,000

 

6.020%, 6/15/2026h

    3,225,185  
 

Diamond Sports Group, LLC

 

1,810,000

 

6.625%, 8/15/2027g,h

    1,875,250  
 

Equinix, Inc.

 

1,825,000

 

5.750%, 1/1/2025

    1,900,372  
 

Harland Clarke Holdings Corporation

 

1,135,000

 

8.375%, 8/15/2022h

    930,700  
 

Hewlett Packard Enterprise Company

 

1,600,000

 

3.009%, (LIBOR 3M + 0.720%), 10/5/2021b

    1,600,146  

760,000

 

4.400%, 10/15/2022

    805,092  
 

Inception Merger Sub, Inc.

 

1,000,000

 

8.625%, 11/15/2024g,h

    919,900  
Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

 

 

Technology (0.6%) - continued

 
 

Iron Mountain, Inc.

 

$750,000

 

4.875%, 9/15/2029h

    $761,475  
 

Marvell Technology Group, Ltd.

 

950,000

 

4.200%, 6/22/2023

    995,806  

1,265,000

 

4.875%, 6/22/2028

    1,405,224  
 

Microsoft Corporation

 

2,400,000

 

4.750%, 11/3/2055

    3,236,728  

2,400,000

 

4.200%, 11/3/2035

    2,871,479  

4,500,000

 

3.700%, 8/8/2046

    5,157,492  
 

NCR Corporation

 

1,190,000

 

6.125%, 9/1/2029h

    1,254,320  
 

NXP BV/NXP Funding, LLC

 

1,500,000

 

4.875%, 3/1/2024h

    1,626,667  
 

Oracle Corporation

 

3,565,000

 

2.950%, 5/15/2025

    3,708,371  

1,815,000

 

3.850%, 7/15/2036

    2,003,434  
 

Plantronics, Inc.

 

1,650,000

 

5.500%, 5/31/2023h

    1,654,125  
 

SS&C Technologies, Inc.

 

1,580,000

 

5.500%, 9/30/2027h

    1,651,140  
 

Texas Instruments, Inc.

 

1,630,000

 

4.150%, 5/15/2048

    1,999,006  
 

Tyco Electronics Group SA

 

374,000

 

3.450%, 8/1/2024

    390,590  

748,000

 

3.125%, 8/15/2027

    769,774  
  Total     55,426,454  

Transportation (0.2%) 

 
 

Air Canada Pass Through Trust

 

371,541

 

3.875%, 3/15/2023h

    376,483  
 

Air Lease Corporation

 

610,000

 

3.500%, 1/15/2022

    625,654  
 

Boeing Company

 

2,550,000

 

3.600%, 5/1/2034

    2,766,514  
 

Burlington Northern Santa Fe, LLC

 

1,120,000

 

5.750%, 5/1/2040

    1,507,531  

1,720,000

 

5.050%, 3/1/2041

    2,152,454  

1,175,000

 

4.450%, 3/15/2043

    1,396,354  
 

CSX Corporation

 

119,000

 

3.700%, 11/1/2023

    125,854  

1,250,000

 

3.350%, 9/15/2049

    1,222,092  
 

Delta Air Lines, Inc.

 

830,000

 

2.875%, 3/13/2020

    831,775  
 

Hertz Corporation

 

970,000

 

5.500%, 10/15/2024h

    971,455  
 

Penske Truck Leasing Company, LP

 

1,350,000

 

3.375%, 2/1/2022h

    1,377,864  
 

United Continental Holdings, Inc.

 

1,850,000

 

4.875%, 1/15/2025

    1,946,385  
 

XPO Logistics, Inc.

 

1,703,000

 

6.750%, 8/15/2024h

    1,843,497  
  Total     17,143,912  

U.S. Government & Agencies (9.5%) 

 
 

U.S. Treasury Bonds

 

7,285,000

 

2.250%, 11/15/2027

    7,621,078  

76,750,000

 

2.875%, 5/15/2028

    84,251,114  

19,535,000

 

5.250%, 11/15/2028

    25,451,205  

2,975,000

 

4.375%, 5/15/2040

    4,187,080  

1,340,000

 

3.000%, 5/15/2042

    1,568,009  

68,926,000

 

2.500%, 5/15/2046

    74,289,304  

46,190,000

 

2.875%, 5/15/2049

    53,915,999  
 

U.S. Treasury Bonds, TIPS

 

142,913

 

2.375%, 1/15/2025

    159,123  

100,895

 

2.125%, 2/15/2040

    134,266  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

156


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

 

 

U.S. Government & Agencies (9.5%) - continued

 
 

U.S. Treasury Notes

 

$12,650,000

 

1.000%, 10/15/2019

    $12,644,683  

92,255,000

 

1.500%, 10/31/2019m,n

    92,209,795  

58,185,000

 

1.750%, 11/30/2019

    58,155,334  

5,080,000

 

2.250%, 3/31/2020

    5,089,128  

63,255,000

 

1.375%, 9/30/2020

    62,980,730  

14,000,000

 

2.750%, 11/30/2020

    14,150,391  

1,015,000

 

1.875%, 12/15/2020

    1,015,912  

34,200,000

 

2.500%, 2/28/2021

    34,550,016  

5,000,000

 

1.375%, 5/31/2021

    4,971,875  

36,909,000

 

1.125%, 8/31/2021

    36,534,143  

4,300,000

 

2.500%, 1/15/2022

    4,383,312  

22,855,000

 

1.875%, 7/31/2022

    23,028,198  

16,300,000

 

2.000%, 11/30/2022

    16,506,934  

4,910,000

 

2.500%, 3/31/2023

    5,064,972  

82,790,000

 

2.500%, 1/31/2024

    86,001,346  

27,885,000

 

2.125%, 7/31/2024

    28,603,910  

33,950,000

 

2.250%, 11/15/2024

    35,069,289  

27,685,000

 

2.125%, 11/30/2024

    28,436,605  

56,830,000

 

2.625%, 1/31/2026

    60,275,319  

98,850,000

 

2.500%, 2/28/2026

    104,159,326  
  Total     965,408,396  

Utilities (0.8%) 

 
 

Ameren Illinois Company

 

830,000

 

4.500%, 3/15/2049

    1,021,105  
 

American Electric Power Company, Inc.

 

2,552,000

 

2.950%, 12/15/2022

    2,603,650  
 

Appalachian Power Company

 

750,000

 

3.300%, 6/1/2027

    784,311  
 

Berkshire Hathaway Energy Company

 

1,165,000

 

4.500%, 2/1/2045

    1,383,267  
 

Calpine Corporation

 

1,835,000

 

5.375%, 1/15/2023

    1,857,938  
 

CenterPoint Energy, Inc.

 

605,000

 

3.850%, 2/1/2024

    638,438  

1,400,000

 

2.500%, 9/1/2024

    1,398,203  

900,000

 

4.250%, 11/1/2028

    989,217  
 

CMS Energy Corporation

 

1,140,000

 

2.950%, 2/15/2027

    1,149,645  
 

Commonwealth Edison Company

 

1,300,000

 

3.700%, 3/1/2045

    1,403,015  
 

Consolidated Edison Company of New York, Inc.

 

2,650,000

 

4.125%, 5/15/2049

    3,032,950  
 

Consolidated Edison, Inc.

 

579,000

 

4.500%, 12/1/2045

    687,220  
 

Consumers Energy Company

 

1,200,000

 

4.350%, 4/15/2049

    1,473,387  
 

DTE Electric Company

 

965,000

 

3.700%, 3/15/2045

    1,050,551  

1,225,000

 

3.700%, 6/1/2046

    1,316,550  
 

Duke Energy Carolinas, LLC

 

2,540,000

 

3.700%, 12/1/2047

    2,759,444  
 

Duke Energy Corporation

 

1,520,000

 

3.750%, 9/1/2046

    1,567,589  
 

Duke Energy Florida, LLC

 

1,030,000

 

3.200%, 1/15/2027

    1,080,070  
 

Duke Energy Indiana, LLC

 

1,550,000

 

3.750%, 5/15/2046

    1,666,354  
 

Edison International

 

520,000

 

2.950%, 3/15/2023

    521,118  

2,925,000

 

5.750%, 6/15/2027

    3,287,438  

 

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

 

 

Utilities (0.8%) - continued

 
 

Energy Transfer Operating, LP

 

$1,630,000

 

5.200%, 2/1/2022

    $1,720,185  
 

Eversource Energy

 

1,625,000

 

2.500%, 3/15/2021

    1,630,085  
 

Exelon Corporation

 

1,158,000

 

4.450%, 4/15/2046

    1,312,785  
 

FirstEnergy Corporation

 

460,000

 

2.850%, 7/15/2022

    467,002  

1,395,000

 

4.850%, 7/15/2047

    1,657,937  
 

ITC Holdings Corporation

 

294,000

 

4.050%, 7/1/2023

    309,475  

760,000

 

5.300%, 7/1/2043

    968,113  
 

MidAmerican Energy Holdings Company

 

2,316,000

 

6.500%, 9/15/2037

    3,257,998  
 

Mississippi Power Company

 

1,040,000

 

3.950%, 3/30/2028

    1,134,390  
 

Monongahela Power Company

 

990,000

 

5.400%, 12/15/2043h

    1,328,054  
 

National Rural Utilities Cooperative Finance Corporation

 

550,000

 

3.900%, 11/1/2028

    612,818  

1,050,000

 

3.700%, 3/15/2029

    1,160,770  
 

NextEra Energy Operating Partners, LP

 

1,740,000

 

3.875%, 10/15/2026h

    1,740,000  
 

NiSource Finance Corporation

 

748,000

 

3.490%, 5/15/2027

    784,760  

2,200,000

 

5.650%, 2/1/2045

    2,836,738  
 

Oncor Electric Delivery Company, LLC

 

2,992,000

 

3.750%, 4/1/2045

    3,299,515  
 

Pacific Gas and Electric Company

 

900,000

 

3.300%, 12/1/2027f,o

    891,000  

900,000

 

3.950%, 12/1/2047f,o

    870,750  
 

PPL Capital Funding, Inc.

 

552,000

 

3.400%, 6/1/2023

    568,166  

1,400,000

 

5.000%, 3/15/2044

    1,635,301  
 

PPL Electric Utilities Corporation

 

1,122,000

 

3.950%, 6/1/2047

    1,275,532  
 

Public Service Electric & Gas Company

 

1,900,000

 

3.000%, 5/15/2027

    1,978,839  
 

San Diego Gas and Electric Company

 

1,540,000

 

4.150%, 5/15/2048

    1,754,768  
 

South Carolina Electric & Gas Company

 

1,850,000

 

5.100%, 6/1/2065

    2,472,840  
 

Southern California Edison Company

 

1,500,000

 

4.000%, 4/1/2047

    1,613,628  
 

Southern Company

 

1,843,000

 

3.250%, 7/1/2026

    1,904,118  
 

Southern Company Gas Capital Corporation

 

1,870,000

 

4.400%, 5/30/2047

    2,111,987  
 

Southwestern Electric Power Company

 

620,000

 

3.900%, 4/1/2045

    654,923  
 

TerraForm Power Operating, LLC

 

1,880,000

 

5.000%, 1/31/2028h

    1,955,200  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

157


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (29.8%)   Value

 

 

Utilities (0.8%) - continued

 
 

Virginia Electric and Power Company

 

$850,000

 

4.600%, 12/1/2048

    $1,044,261  
  Total     76,623,398  
           
  Total Long-Term Fixed Income
(cost $2,927,146,968)
    3,019,720,724  
Shares   Common Stock (27.0%)   Value

 

 

Communications Services (1.5%) 

 

214,243

 

Activision Blizzard, Inc.

    11,337,740  

51,194

 

Alphabet, Inc., Class Ap

    62,515,041  

7,619

 

Alphabet, Inc., Class Cp

    9,287,561  

140,972

 

Auto Trader Group plch

    883,561  

41,459

 

CBS Corporation

    1,673,700  

207,134

 

Comcast Corporation

    9,337,601  

52,644

 

DISH Network Corporationp

    1,793,581  

187,328

 

Facebook, Inc.p

    33,359,370  

10,038

 

Hemisphere Media Group, Inc.p

    122,664  

71,000

 

HKT Trust and HKT, Ltd.

    112,629  

2,525

 

Ipsos SA

    71,928  

10,700

 

KDDI Corporation

    279,192  

71,215

 

Mediaset Espana Comunicacion SAg

    459,042  

30,767

 

News Corporation

    439,814  

165,031

 

ORBCOMM, Inc.p

    785,548  

6,088

 

Rightmove plc

    41,193  

12,050

 

Scholastic Corporation

    455,008  

32,339

 

Seven West Media, Ltd.p

    8,521  

39,396

 

Take-Two Interactive Software, Inc.p

    4,937,895  

33,755

 

Telenor ASA

    677,257  

112,633

 

Telstra Corporation, Ltd.

    266,993  

25,400

 

TV Asahi Holdings Corporation

    400,974  

52,449

 

Twitter, Inc.p

    2,160,899  

225,837

 

Verizon Communications, Inc.

    13,631,521  

5,688

 

Wolters Kluwer NV

    415,026  

38,922

 

Zillow Group, Inc.p

    1,149,950  
  Total     156,604,209  

Consumer Discretionary (3.3%) 

 

74,690

 

Alibaba Group Holding, Ltd. ADRp

    12,490,409  

50,482

 

Amazon.com, Inc.p

    87,632,209  

20,952

 

American Axle & Manufacturing Holdings, Inc.p

    172,225  

3,200

 

AOKI Holdings, Inc.

    30,862  

5,000

 

Aoyama Trading Company, Ltd.

    87,266  

34,049

 

Aptiv plc

    2,976,564  

3,600

 

Autobacs Seven Company, Ltd.

    59,037  

42,295

 

Barratt Developments plc

    336,694  

1,274

 

Barrett Business Services, Inc.

    113,157  

8,000

 

Benesse Holdings, Inc.

    208,401  

14,498

 

Berkeley Group Holdings plc

    744,388  

2,549

 

Booking Holdings, Inc.p

    5,002,693  

65,821

 

BorgWarner, Inc.

    2,414,314  

98,066

 

Bright Horizons Family Solutions, Inc.p

    14,955,065  

7,293

 

Buckle, Inc.g

    150,236  

29,652

 

Burlington Stores, Inc.p

    5,925,063  

75,775

 

Canada Goose Holdings, Inc.g,p

    3,331,827  

10,556

 

Century Casinos, Inc.p

    81,598  

38,516

 

Children’s Place, Inc.g

    2,965,347  

6,197

 

Chipotle Mexican Grill, Inc.p

    5,208,393  

4,100

 

Chiyoda Company, Ltd.

    64,402  

4,087

 

Cie Generale des Etablissements Michelin

    455,061  

80,200

 

Citizen Watch Company, Ltd.

    393,459  

2,582

 

Compass Group plc

    66,441  
Shares   Common Stock (27.0%)   Value

 

 

Consumer Discretionary (3.3%) - continued

 

9,745

 

Cooper-Standard Holdings, Inc.p

    $398,376  

8,410

 

Countryside Properties plch

    34,716  

40,133

 

Crocs, Inc.p

    1,114,092  

42,880

 

CSS Industries, Inc.

    170,234  

39,054

 

Culp, Inc.

    636,580  

43,513

 

D.R. Horton, Inc.

    2,293,570  

67,900

 

Delphi Technologies plc

    909,860  

22,900

 

Denso Corporation

    1,011,892  

12,794

 

Domino’s Pizza, Inc.

    3,129,284  

98,180

 

Duluth Holdings, Inc.g,p

    832,566  

52,882

 

Emerald Expositions Events, Inc.

    514,542  

36,591

 

Ethan Allen Interiors, Inc.

    698,888  

40,488

 

Etsy, Inc.p

    2,287,572  

1,700

 

Exedy Corporation

    33,333  

56,039

 

Five Below, Inc.p

    7,066,518  

474

 

Genuine Parts Company

    47,206  

50,304

 

G-III Apparel Group, Ltd.p

    1,296,334  

59,134

 

Grand Canyon Education, Inc.p

    5,806,959  

71,503

 

Harley-Davidson, Inc.

    2,571,963  

117,782

 

Home Depot, Inc.

    27,327,780  

6,810

 

Hooker Furniture Corporation

    146,006  

68,171

 

International Game Technology plc

    968,710  

1,225

 

Johnson Outdoors, Inc.

    71,736  

119,490

 

Knoll, Inc.

    3,029,071  

81,409

 

Lowe’s Companies, Inc.

    8,951,734  

11,272

 

Lululemon Athletica, Inc.p

    2,170,198  

25,296

 

Marcus Corporation

    936,205  

6,626

 

McDonald’s Corporation

    1,422,668  

32,891

 

Michaels Companies, Inc.g,p

    322,003  

44,176

 

Modine Manufacturing Companyp

    502,281  

11,334

 

Mohawk Industries, Inc.p

    1,406,209  

72,963

 

Moneysupermarket.com Group plc

    339,315  

25,487

 

Movado Group, Inc.

    633,607  

53,216

 

Netflix, Inc.p

    14,241,666  

24,900

 

NHK Spring Company, Ltd.

    191,017  

281,571

 

NIKE, Inc.

    26,445,148  

200,000

 

Nissan Motor Company, Ltd.

    1,248,671  

84,782

 

Norwegian Cruise Line Holdings, Ltd.p

    4,389,164  

142

 

NVR, Inc.p

    527,864  

69,068

 

Ollie’s Bargain Outlet Holdings, Inc.p

    4,050,147  

3,700

 

Onward Holdings Company, Ltd.

    19,277  

5,325

 

O’Reilly Automotive, Inc.p

    2,122,066  

19,508

 

Oxford Industries, Inc.

    1,398,724  

47,553

 

Park Hotels & Resorts, Inc.

    1,187,398  

14,200

 

Park24 Company, Ltd.

    329,881  

108,086

 

Planet Fitness, Inc.p

    6,254,937  

334,222

 

Playa Hotels and Resorts NVp

    2,616,958  

2,800

 

Plenus Company, Ltd.g

    47,039  

235,926

 

Red Rock Resorts, Inc.

    4,790,477  

37,136

 

Redrow plc

    282,027  

14,598

 

RHg,p

    2,493,776  

2,600

 

Rinnai Corporation

    175,195  

31,039

 

Ruth’s Hospitality Group, Inc.

    633,661  

7,700

 

Sangetsu Company, Ltd.

    145,456  

45,600

 

Sekisui House, Ltd.

    899,787  

1,800

 

SHIMAMURA Company, Ltd.

    143,005  

28,070

 

Sony Corporation ADR

    1,659,779  

32,310

 

Standard Motor Products, Inc.

    1,568,650  

135,568

 

Starbucks Corporation

    11,986,923  

2,836

 

Steven Madden, Ltd.

    101,500  

5,112

 

Strategic Education, Inc.

    694,619  

1,700

 

Sumitomo Forestry Company, Ltd.

    22,699  

65,700

 

Sumitomo Rubber Industries, Ltd.

    782,354  

12,437

 

Super Retail Group, Ltd.

    83,282  

1,500

 

Takara Standard Company, Ltd.

    24,832  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

158


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (27.0%)   Value

 

 

Consumer Discretionary (3.3%) - continued

 

141,004

  

Taylor Wimpey plc

    $279,882  

43,094

  

Texas Roadhouse, Inc.

    2,263,297  

115,292

  

Toll Brothers, Inc.

    4,732,737  

30,600

  

Toyoda Gosei Company, Ltd.

    616,020  

100

  

TS Tech Company, Ltd.

    3,059  

16,118

  

Tupperware Brands Corporation

    255,793  

16,908

  

Ulta Beauty, Inc.p

    4,237,990  

3,000

  

United Arrows, Ltd.

    87,833  

22,576

  

Vail Resorts, Inc.

    5,137,395  

4,992

  

WH Smith plc

    121,979  

30,790

  

Wingstop, Inc.

    2,687,351  

22,100

  

Yahoo Japan Corporation

    62,264  

26,772

  

Zumiez, Inc.p

    848,003  
   Total     337,838,701  

Consumer Staples (1.0%)

 

4,600

  

Arcs Company, Ltd.

    96,722  

20,682

  

Calavo Growers, Inc.g

    1,968,513  

5,730

  

Carlsberg AS

    846,768  

50,495

  

Casey’s General Stores, Inc.

    8,137,774  

35,023

  

Central Garden & Pet Companyp

    1,023,722  

5,385

  

Central Garden & Pet Company, Class Ap

    149,299  

100,359

  

Coca-Cola Company

    5,463,544  

104,089

  

Colgate-Palmolive Company

    7,651,582  

6,465

  

Costco Wholesale Corporation

    1,862,631  

142,554

  

Cott Corporation

    1,777,648  

6,051

  

ForFarmers BV

    38,117  

1,414

  

Glanbia plc

    17,570  

1,251

  

Grocery Outlet Holding Corporationp

    43,385  

172,046

  

Hain Celestial Group, Inc.p

    3,694,688  

581

  

Inter Parfums, Inc.

    40,653  

100,100

  

Japan Tobacco, Inc.

    2,193,155  

16,497

  

John B. Sanfilippo & Son, Inc.

    1,593,610  

18,315

  

Kimberly-Clark Corporation

    2,601,646  

777

  

L’Oreal SA

    217,304  

1,500

  

Ministop Company, Ltd.

    19,329  

221,688

  

Monster Beverage Corporationp

    12,871,205  

11,497

  

Nestle SA

    1,246,902  

61,954

  

PepsiCo, Inc.

    8,493,893  

155,638

  

Philip Morris International, Inc.

    11,817,593  

66,723

  

Procter & Gamble Company

    8,299,007  

11,030

  

Seneca Foods Corporationp

    343,915  

12,800

  

Sugi Holdings Company, Ltd.

    694,661  

26,000

  

Sundrug Company, Ltd.

    820,388  

176,878

  

SunOpta, Inc.p

    318,380  

31,017

  

TreeHouse Foods, Inc.p

    1,719,893  

2,000

  

TSURUHA Holdings, Inc.

    218,407  

148,042

  

Turning Point Brands, Inc.

    3,413,849  

21,696

  

Unilever NV

    1,302,793  

36,043

  

Unilever plc

    2,166,244  

90,121

  

Wal-Mart Stores, Inc.

    10,695,560  
   Total     103,860,350  

Energy (0.6%)

 

103,503

  

Abraxas Petroleum Corporationp

    52,528  

355,717

  

Archrock, Inc.

    3,546,499  

109,559

  

BP plc ADRg

    4,162,146  

86,854

  

Chevron Corporation

    10,300,884  

16,555

  

Concho Resources, Inc.

    1,124,085  

52,332

  

Contura Energy, Inc.p

    1,463,203  

35,549

  

Diamondback Energy, Inc.

    3,196,211  

21,381

  

Dril-Quip, Inc.p

    1,072,899  

4,767

  

Enterprise Products Partners, LP

    136,241  

77,805

  

EQT Corporation

    827,845  

35,279

  

Era Group, Inc.p

    372,546  
Shares    Common Stock (27.0%)   Value

 

 

Energy (0.6%) - continued

 

220,730

  

Euronav NV

    $2,030,716  

8,914

  

Evolution Petroleum Corporation

    52,058  

64,571

  

Exterran Corporationp

    843,297  

3,497

  

Exxon Mobil Corporation

    246,923  

86,909

  

Frank’s International NVp

    412,818  

956

  

Gaztransport Et Technigaz SA

    94,585  

121,150

  

Gran Tierra Energy, Inc.p

    151,438  

51,972

  

Gulfport Energy Corporationp

    140,844  

93,761

  

Halliburton Company

    1,767,395  

66,478

  

Liberty Oilfield Services, Inc.g

    719,957  

286,664

  

Marathon Oil Corporation

    3,517,367  

80,313

  

Marathon Petroleum Corporation

    4,879,015  

1,331

  

Matrix Service Companyp

    22,813  

412,370

  

Nabors Industries, Ltd.

    771,132  

164,625

  

Nine Energy Service, Inc.p

    1,015,736  

162,128

  

Oceaneering International, Inc.p

    2,196,834  

55,034

  

Oil States International, Inc.p

    731,952  

77,809

  

Pacific Drilling SAg,p

    304,233  

144,611

  

Patterson-UTI Energy, Inc.

    1,236,424  

25,699

  

Pioneer Natural Resources Company

    3,232,163  

1,926

  

REX American Resources Corporationp

    147,012  

43,364

  

Royal Dutch Shell plc, Class A

    1,271,771  

60,408

  

Royal Dutch Shell plc, Class B

    1,785,376  

16,420

  

SEACOR Holdings, Inc.p

    772,889  

15,356

  

Select Energy Services, Inc.p

    132,983  

102,871

  

Talos Energy, Inc.p

    2,091,368  

69,189

  

TechnipFMC plc

    1,670,223  

8,695

  

U.S. Silica Holdings, Inc.

    83,124  

17,195

  

Unit Corporationp

    58,119  

119,021

  

WPX Energy, Inc.p

    1,260,432  
   Total     59,896,084  

Financials (3.9%)

 

1,766

  

1st Source Corporation

    80,759  

7,341

  

AB Industrivarden

    160,592  

75,013

  

Aflac, Inc.

    3,924,680  

54,806

  

AG Mortgage Investment Trust, Inc.

    830,311  

5,686

  

Alleghany Corporationp

    4,536,063  

7,515

  

Allianz SE

    1,749,288  

82,304

  

Ally Financial, Inc.

    2,729,201  

11,485

  

American Express Company

    1,358,446  

146,562

  

American Financial Group, Inc.

    15,806,712  

45,078

  

American International Group, Inc.

    2,510,845  

31,798

  

Ameriprise Financial, Inc.

    4,677,486  

50,621

  

Ameris Bancorp

    2,036,989  

25,154

  

Argo Group International Holdings, Ltd.

    1,766,817  

37,268

  

Arthur J. Gallagher & Company

    3,338,095  

11,942

  

Artisan Partners Asset Management, Inc.

    337,242  

123,366

  

Assured Guaranty, Ltd.

    5,484,852  

2,419

  

Baloise Holding AG

    433,424  

81,109

  

Bank Leumi Le-Israel BM

    577,482  

632,128

  

Bank of America Corporation

    18,439,174  

6,023

  

Bank of Marin Bancorp

    249,894  

19,723

  

Bank of Montreal

    1,452,670  

39,365

  

BankFinancial Corporation

    468,444  

11,894

  

Banner Corporation

    668,086  

20,299

  

Berkshire Hathaway, Inc.p

    4,222,598  

8,836

  

BlackRock, Inc.

    3,937,675  

15,023

  

BOK Financial Corporation

    1,189,070  

186,816

  

Boston Private Financial Holdings, Inc.

    2,177,341  

38,972

  

Bridgewater Bancshares, Inc.p

    465,326  

439,251

  

BrightSphere Investment Group

    4,352,977  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

159


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (27.0%)   Value

 

 

Financials (3.9%) - continued

 

37,636

  

Brown & Brown, Inc.

    $1,357,154  

14,316

  

Byline Bancorp, Inc.p

    255,970  

62,800

  

Capital One Financial Corporation

    5,713,544  

30,833

  

Cboe Global Markets, Inc.

    3,543,020  

8,394

  

Central Pacific Financial Corporation

    238,390  

243,141

  

Charles Schwab Corporation

    10,170,588  

23,686

  

Chubb, Ltd.

    3,823,868  

83,606

  

CI Financial Corporation

    1,219,839  

13,724

  

Cincinnati Financial Corporation

    1,601,179  

165,044

  

Citigroup, Inc.

    11,401,240  

37,143

  

Citizens Financial Group, Inc.

    1,313,748  

31,090

  

CNP Assurances

    600,804  

22,932

  

Cohen & Steers, Inc.

    1,259,655  

53,285

  

Colony Capital, Inc.

    320,776  

76,220

  

Comerica, Inc.

    5,029,758  

54,166

  

Community Trust Bancorp, Inc.

    2,306,388  

74,400

  

DBS Group Holdings, Ltd.

    1,345,979  

1,358

  

Deutsche Boerse AG

    211,793  

28,127

  

Deutsche Pfandbriefbank AGh

    342,921  

631

  

Diamond Hill Investment Group, Inc.

    87,160  

49,249

  

Direct Line Insurance Group plc

    181,704  

38,341

  

Discover Financial Services

    3,109,072  

34,984

  

DnB ASA

    616,697  

77,708

  

Dynex Capital, Inc.

    1,148,524  

196,313

  

E*TRADE Financial Corporation

    8,576,915  

20,901

  

East West Bancorp, Inc.

    925,705  

18,072

  

Ellington Residential Mortgage REIT

    190,479  

28,939

  

Enterprise Financial Services Corporation

    1,179,264  

46,881

  

Essent Group, Ltd.

    2,234,817  

14,961

  

Euronext NVh

    1,225,025  

12,864

  

FBL Financial Group, Inc.

    765,537  

3,943

  

Federal Agricultural Mortgage Corporation

    321,985  

230,992

  

Fifth Third Bancorp

    6,324,561  

37,147

  

Financial Institutions, Inc.

    1,121,096  

54,234

  

First American Financial Corporation

    3,200,348  

2,176

  

First Bancorp

    78,118  

67,423

  

First Busey Corporation

    1,704,453  

18,778

  

First Citizens BancShares, Inc.

    8,854,766  

73,219

  

First Defiance Financial Corporation

    2,120,788  

28,614

  

First Financial Corporation

    1,243,851  

46,043

  

First Hawaiian, Inc.

    1,229,348  

43,623

  

First Interstate BancSystem, Inc.

    1,755,390  

2,119

  

First Mid-Illinois Bancshares, Inc.

    73,360  

29,475

  

First Midwest Bancorp, Inc.

    574,173  

6,304

  

First of Long Island Corporation

    143,416  

34,446

  

First Republic Bank

    3,330,928  

125,536

  

FlexiGroup, Ltd.

    216,463  

7,296

  

Goldman Sachs Group, Inc.

    1,511,950  

56,611

  

Great Southern Bancorp, Inc.

    3,223,996  

58,514

  

Hamilton Lane, Inc.

    3,332,957  

9,740

  

Hancock Whitney Corporation

    372,993  

38,997

  

Hanover Insurance Group, Inc.

    5,285,653  

177,233

  

Hartford Financial Services Group, Inc.

    10,742,092  

26,293

  

Heartland Financial USA, Inc.

    1,176,349  

163,950

  

Heritage Commerce Corporation

    1,927,232  

47,381

  

Hometrust Bancshares, Inc.

    1,235,223  

23,744

  

Horace Mann Educators Corporation

    1,100,060  

63,217

  

Horizon Bancorp, Inc.

    1,097,447  

12,573

  

Houlihan Lokey, Inc.

    567,042  

168,258

  

HSBC Holdings plc

    1,289,230  

67,057

  

IBERIABANK Corporation

    5,065,486  

60,626

  

Independent Bank Corporation

    1,292,243  

52,883

  

Interactive Brokers Group, Inc.

    2,844,048  
Shares    Common Stock (27.0%)   Value

 

 

Financials (3.9%) - continued

 

232,861

  

Intercontinental Exchange, Inc.

    $21,486,084  

18,724

  

International Bancshares Corporation

    723,121  

189,785

  

Israel Discount Bank, Ltd.

    834,141  

77,771

  

J.P. Morgan Chase & Company

    9,152,869  

10,289

  

Kemper Corporation

    802,028  

157,074

  

KeyCorp

    2,802,200  

8,052

  

KKR Real Estate Finance Trust, Inc.

    157,256  

28,046

  

Lakeland Bancorp, Inc.

    432,750  

13,831

  

Laurentian Bank of Canadag

    470,098  

39,073

  

Loews Corporation

    2,011,478  

13,716

  

M&T Bank Corporation

    2,166,717  

66,756

  

Manulife Financial Corporation

    1,224,418  

2,402

  

Markel Corporationp

    2,838,924  

108,819

  

Medibank Private, Ltd.

    249,905  

8,195

  

Mercantile Bank Corporation

    268,796  

88,747

  

Meridian Bancorp, Inc.

    1,664,006  

65,632

  

MetLife, Inc.

    3,095,205  

77,979

  

MidWestOne Financial Group, Inc.

    2,379,919  

4,411

  

Moody’s Corporation

    903,505  

55,079

  

Morgan Stanley

    2,350,221  

14,024

  

MSCI, Inc.

    3,053,726  

12,159

  

National Bank of Canadag

    604,990  

919

  

National Western Life Group, Inc.

    246,632  

25,298

  

Newmark Group, Inc.

    229,200  

54,912

  

Northern Trust Corporation

    5,124,388  

34,704

  

Old Second Bancorp, Inc.

    424,083  

12,757

  

Opus Bank

    277,720  

24,736

  

PacWest Bancorp

    898,906  

3,698

  

Paragon Banking Group plc

    21,929  

3,678

  

Pargesa Holding SA

    282,906  

67,677

  

PCSB Financial Corporation

    1,352,863  

2,364

  

Peapack-Gladstone Financial Corporation

    66,263  

11,255

  

Peoples Bancorp, Inc.

    358,022  

31,798

  

Popular, Inc.

    1,719,636  

9,555

  

Primerica, Inc.

    1,215,683  

96,902

  

Prosight Global, Inc.p

    1,876,023  

21,541

  

Prudential Financial, Inc.

    1,937,613  

39,445

  

QCR Holdings, Inc.

    1,498,121  

75,500

  

Radian Group, Inc.

    1,724,420  

96,276

  

Raymond James Financial, Inc.

    7,938,919  

33,353

  

Reinsurance Group of America, Inc.

    5,332,478  

6,835

  

Royal Bank of Canada

    554,446  

46,834

  

S&P Global, Inc.

    11,473,393  

2,359

  

S&T Bancorp, Inc.

    86,174  

50,925

  

Sandy Spring Bancorp, Inc.

    1,716,682  

120,566

  

Santander Consumer USA Holdings, Inc.

    3,075,639  

107,048

  

Seacoast Banking Corporation of Floridap

    2,709,385  

60,481

  

SEI Investments Company

    3,583,802  

4,200

  

Senshu Ikeda Holdings, Inc.

    7,293  

19,535

  

Skandinaviska Enskilda Banken AB

    179,501  

413,164

  

SLM Corporation

    3,646,172  

22,350

  

State Auto Financial Corporation

    723,917  

20,478

  

State Street Corporation

    1,212,093  

10,861

  

Stifel Financial Corporation

    623,204  

8,516

  

Sun Life Financial, Inc.

    380,789  

23,313

  

SVB Financial Groupp

    4,871,251  

58,967

  

Synovus Financial Corporation

    2,108,660  

15,069

  

Territorial Bancorp, Inc.

    430,672  

7,928

  

Topdanmark AS

    382,702  

33,392

  

Toronto-Dominion Bank

    1,947,037  

14,291

  

TPG RE Finance Trust, Inc.

    283,533  

34,502

  

TriCo Bancshares

    1,252,423  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

160


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (27.0%)   Value

 

 

Financials (3.9%) - continued

 

169,776

 

TrustCo Bank Corporation

    $1,383,674  

113,572

 

U.S. Bancorp

    6,285,075  

30,476

 

United Community Banks, Inc.

    863,995  

4,567

 

Univest Financial Corporation

    116,504  

1,183

 

Virtus Investment Partners, Inc.

    130,804  

8,030

 

Walker & Dunlop, Inc.

    449,118  

20,777

 

Washington Trust Bancorp, Inc.

    1,003,737  

6,631

 

WesBanco, Inc.

    247,800  

12,198

 

Western Alliance Bancorp

    562,084  

2,210

 

Westwood Holdings Group, Inc.

    61,151  

2,935

 

Willis Towers Watson plc

    566,367  

94,606

 

Wintrust Financial Corporation

    6,114,386  

234,139

 

Zions Bancorporations NA

    10,423,868  
  Total     398,272,590  

Health Care (3.7%)

 

185,032

 

Abbott Laboratories

    15,481,627  

5,379

 

ABIOMED, Inc.p

    956,870  

38,807

 

Aerie Pharmaceuticals, Inc.g,p

    745,871  

70,276

 

Agilent Technologies, Inc.

    5,385,250  

62,727

 

Agios Pharmaceuticals, Inc.g,p

    2,032,355  

11,402

 

Alexion Pharmaceuticals, Inc.p

    1,116,712  

16,537

 

AmerisourceBergen Corporation

    1,361,491  

39,244

 

Amgen, Inc.

    7,594,106  

3,769

 

Amplifon SPA

    92,468  

5,120

 

AngioDynamics, Inc.p

    94,310  

14,364

 

Arena Pharmaceuticals, Inc.p

    657,440  

979

 

Atrion Corporation

    762,807  

47,959

 

Axonics Modulation Technologies, Inc.p

    1,291,056  

60,386

 

Bausch Health Companies, Inc.p

    1,319,434  

5,550

 

Becton, Dickinson and Company

    1,403,928  

4,816

 

Biogen, Inc.p

    1,121,261  

29,717

 

BioMarin Pharmaceutical, Inc.p

    2,002,926  

5,987

 

Bio-Rad Laboratories, Inc.p

    1,992,114  

42,542

 

Bio-Techne Corporation

    8,324,193  

64,033

 

Bruker Corporation

    2,812,970  

123,931

 

Catalent, Inc.p

    5,906,551  

28,126

 

Charles River Laboratories International, Inc.p

    3,723,039  

3,339

 

Chemed Corporation

    1,394,266  

9,642

 

Cigna Holding Company

    1,463,559  

17,114

 

Concert Pharmaceuticals, Inc.p

    100,630  

69,252

 

CryoLife, Inc.p

    1,880,192  

102,704

 

CVS Health Corporation

    6,477,541  

46,245

 

Danaher Corporation

    6,679,165  

19,236

 

Dexcom, Inc.p

    2,870,781  

76,261

 

Edwards Lifesciences Corporationp

    16,770,556  

6,301

 

Enanta Pharmaceuticals, Inc.p

    378,564  

103,447

 

GenMark Diagnostics, Inc.p

    626,889  

164,604

 

Gilead Sciences, Inc.

    10,432,602  

95,269

 

GlaxoSmithKline plc

    2,042,043  

180,437

 

Halozyme Therapeutics, Inc.p

    2,798,578  

18,890

 

HealthStream, Inc.p

    489,062  

41,112

 

Hill-Rom Holdings, Inc.

    4,326,216  

6,098

 

Humana, Inc.

    1,559,076  

624

 

IDEXX Laboratories, Inc.p

    169,684  

36,208

 

Illumina, Inc.p

    11,015,198  

30,383

 

Immunomedics, Inc.p

    402,879  

55,881

 

Inspire Medical Systems, Inc.p

    3,409,859  

8,829

 

Insulet Corporationp

    1,456,167  

31,847

 

Intuitive Surgical, Inc.p

    17,195,151  

29,189

 

Jazz Pharmaceuticals, Inc.p

    3,740,278  

136,831

 

Johnson & Johnson

    17,703,195  

2,000

 

KYORIN Holdings, Inc.

    33,201  
Shares   Common Stock (27.0%)   Value

 

 

Health Care (3.7%) - continued

 

4,066

 

Laboratory Corporation of America Holdingsp

    $683,088  

49,337

 

LHC Group, Inc.p

    5,602,710  

22,417

 

Ligand Pharmaceuticals, Inc.p

    2,231,388  

652

 

LNA Sante

    33,322  

2,092

 

Magellan Health Services, Inc.p

    129,913  

683

 

Masimo Corporationp

    101,624  

9,438

 

McKesson Corporation

    1,289,797  

144,329

 

Medtronic plc

    15,677,016  

148,285

 

Merck & Company, Inc.

    12,482,631  

9,200

 

Mitsubishi Tanabe Pharma Corporation

    101,387  

96,659

 

Natera, Inc.p

    3,170,415  

28,116

 

National Healthcare Corporation

    2,301,295  

24,345

 

Neurocrine Biosciences, Inc.p

    2,193,728  

11,256

 

Nevro Corporationp

    967,678  

69,573

 

NextGen Healthcare, Inc.p

    1,090,209  

31,309

 

Novartis AG

    2,717,214  

47,728

 

Novo Nordisk AS

    2,466,401  

11,471

 

Novocure, Ltd.p

    857,801  

19,796

 

NuVasive, Inc.p

    1,254,670  

185,147

 

Optinose, Inc.g,p

    1,296,029  

9,281

 

Orthifix Medical, Inc.p

    492,079  

6,510

 

PerkinElmer, Inc.

    554,457  

101,936

 

Pfizer, Inc.

    3,662,560  

2,038

 

Phibro Animal Health Corporation

    43,471  

2,793

 

Providence Service Corporationp

    166,072  

16,958

 

Recordati SPA

    727,311  

23,309

 

Repligen Corporationp

    1,787,567  

21,424

 

ResMed, Inc.

    2,894,597  

8,382

 

Roche Holding AG

    2,440,543  

15,745

 

Sage Therapeutics, Inc.p

    2,208,866  

10,062

 

Sarepta Therapeutics, Inc.p

    757,870  

36,093

 

Syneos Health, Inc.p

    1,920,509  

62,533

 

Tactile Systems Technology, Inc.p

    2,646,397  

23,493

 

Teleflex, Inc.

    7,981,747  

62,917

 

Thermo Fisher Scientific, Inc.

    18,325,835  

4,123

 

U.S. Physical Therapy, Inc.

    538,258  

125,634

 

UnitedHealth Group, Inc.

    27,302,781  

14,157

 

Universal Health Services, Inc.

    2,105,854  

12,680

 

Varian Medical Systems, Inc.p

    1,510,061  

66,039

 

Veeva Systems, Inc.p

    10,083,495  

74,541

 

Vertex Pharmaceuticals, Inc.p

    12,628,736  

4,667

 

Waters Corporationp

    1,041,814  

7,710

 

West Pharmaceutical Services, Inc.

    1,093,432  

365,188

 

Wright Medical Group NVp

    7,533,828  

190,439

 

Zoetis, Inc.

    23,726,795  
  Total     372,417,362  

Industrials (3.9%)

 

32,757

 

A.O. Smith Corporation

    1,562,837  

2,320

 

Aalberts NV

    91,875  

114,911

 

Acco Brands Corporation

    1,134,172  

6,635

 

ACS Actividades de Construccion y Servicios, SA

    265,109  

1,394

 

Actuant Corporation

    30,584  

27,714

 

Aegion Corporationp

    592,525  

50,986

 

Aerojet Rocketdyne Holdings, Inc.p

    2,575,303  

53,719

 

AGCO Corporation

    4,066,528  

88,591

 

Altra Industrial Motion Corporation

    2,453,528  

92,560

 

AMETEK, Inc.

    8,498,859  

38,778

 

Arcosa, Inc.

    1,326,595  

69,157

 

ASGN, Inc.p

    4,347,209  

39,925

 

Atlas Copco AB, Class A

    1,229,416  

21,480

 

Atlas Copco AB, Class B

    581,658  

130,769

 

AZZ, Inc.

    5,696,298  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

161


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (27.0%)   Value

 

 

Industrials (3.9%) - continued

 

7,611

 

Boeing Company

    $2,895,757  

60,041

 

BWX Technologies, Inc.

    3,434,946  

13,295

 

Cactus, Inc.p

    384,757  

16,471

 

Carlisle Companies, Inc.

    2,397,189  

74,038

 

Casella Waste Systems, Inc.p

    3,179,192  

249,524

 

CBIZ, Inc.p

    5,863,814  

494

 

Chase Corporation

    54,039  

4,322

 

CIA De Distribucion Integral

    84,215  

8,210

 

Columbus McKinnon Corporation

    299,090  

164,830

 

Costamare, Inc.

    1,000,518  

20,795

 

CRA International, Inc.

    872,766  

85,134

 

Crane Company

    6,864,354  

57,474

 

CSW Industrials, Inc.

    3,967,430  

31,816

 

CSX Corporation

    2,203,894  

77,838

 

Curtiss-Wright Corporation

    10,069,902  

89,849

 

Delta Air Lines, Inc.

    5,175,302  

44,587

 

Douglas Dynamics, Inc.

    1,987,243  

132,303

 

EMCOR Group, Inc.

    11,393,934  

62,359

 

Emerson Electric Company

    4,169,323  

38,019

 

Encore Wire Corporation

    2,139,709  

3,965

 

Ennis, Inc.

    80,133  

15,310

 

ESCO Technologies, Inc.

    1,218,064  

29,705

 

Expeditors International of Washington, Inc.

    2,206,784  

10,437

 

Federal Signal Corporation

    341,707  

56,396

 

Forrester Research, Inc.

    1,812,567  

50

 

Geberit AG

    23,894  

47,624

 

General Dynamics Corporation

    8,702,334  

23,101

 

Gorman-Rupp Company

    803,684  

29,055

 

Granite Construction, Inc.

    933,537  

3,200

 

GS Yuasa Corporation

    55,578  

56,977

 

GWA Group, Ltd.g

    130,432  

800

 

Hanwa Company, Ltd.

    21,965  

60,067

 

Healthcare Services Group, Inc.g

    1,459,027  

12,501

 

Heico Corporation

    1,561,125  

3,141

 

Heidrick & Struggles International, Inc.

    85,749  

4,549

 

Herc Holdings, Inc.p

    211,574  

10,400

 

Hino Motors, Ltd.

    86,186  

25,345

 

HNI Corporation

    899,748  

191,519

 

Honeywell International, Inc.

    32,405,015  

40,330

 

Hubbell, Inc.

    5,299,362  

16,442

 

Huntington Ingalls Industries, Inc.

    3,482,251  

11,850

 

Huron Consulting Group, Inc.p

    726,879  

5,344

 

Hyster-Yale Materials Handling, Inc.

    292,477  

65,259

 

ICF International, Inc.

    5,512,428  

53,836

 

IDEX Corporation

    8,822,644  

6,700

 

Inaba Denki Sangyo Company, Ltd.

    294,206  

55,113

 

Ingersoll-Rand plc

    6,790,473  

216,023

 

Interface, Inc.

    3,119,372  

63,540

 

Johnson Controls International plc

    2,788,771  

22,053

 

Kelly Services, Inc.

    534,124  

59,626

 

Kforce, Inc.

    2,255,950  

15,932

 

Koninklijke Philips NV

    736,206  

40,738

 

Kratos Defense & Security Solutions, Inc.p

    757,523  

16,073

 

Legrand SA

    1,147,133  

59,698

 

Lincoln Electric Holdings, Inc.

    5,179,399  

43,120

 

Lockheed Martin Corporation

    16,819,387  

64,300

 

Marubeni Corporation

    428,815  

86,302

 

Masonite International Corporationp

    5,005,516  

3,496

 

Matthews International Corporation

    123,723  

34,215

 

Mercury Systems, Inc.p

    2,777,232  

28,800

 

Mitsubishi Corporation

    709,140  

5,500

 

Mitsuboshi Belting, Ltd.

    90,552  

63,400

 

Mitsui & Company, Ltd.

    1,041,435  
Shares   Common Stock (27.0%)   Value

 

 

Industrials (3.9%) - continued

 

8,789

 

Mobile Mini, Inc.

    $323,963  

132,680

 

MRC Global, Inc.p

    1,609,408  

57,979

 

Mueller Industries, Inc.

    1,662,838  

22,176

 

National Express Group plc

    118,063  

17,700

 

Nitto Kogyo Corporation

    336,542  

9,018

 

Nobina ABh

    56,359  

79,550

 

Norfolk Southern Corporation

    14,291,953  

6,686

 

Northgate plc

    27,128  

27,483

 

Old Dominion Freight Line, Inc.

    4,671,286  

31,466

 

PageGroup plc

    169,623  

29,573

 

Parker Hannifin Corporation

    5,341,180  

103,633

 

Primoris Services Corporation

    2,032,243  

25,373

 

Raven Industries, Inc.

    848,981  

42,529

 

Regal-Beloit Corporation

    3,098,238  

58,246

 

RELX plc

    1,383,319  

30,165

 

Resources Connection, Inc.

    512,503  

160,026

 

Ritchie Brothers Auctioneers, Inc.

    6,385,037  

7,373

 

Rockwell Automation, Inc.

    1,215,070  

21,531

 

Roper Industries, Inc.

    7,677,955  

6,167

 

Rush Enterprises, Inc.

    237,923  

29,656

 

Saia, Inc.p

    2,778,767  

10,434

 

Sandvik AB

    162,436  

12,248

 

Schneider Electric SE

    1,070,995  

28,168

 

Signify NVh

    774,133  

22,931

 

SiteOne Landscape Supply, Inc.g,p

    1,697,353  

39,671

 

SKF AB

    655,093  

99,600

 

Sojitz Corporation

    309,843  

151,767

 

Southwest Airlines Company

    8,196,936  

57,590

 

SP Plus Corporationp

    2,130,830  

2,898

 

Spirax-Sarco Engineering plc

    279,203  

58,994

 

SPX FLOW, Inc.p

    2,327,903  

78,959

 

Standex International Corporation

    5,759,269  

55,300

 

Sumitomo Corporation

    865,747  

90,400

 

Sumitomo Electric Industries, Ltd.

    1,153,633  

2,600

 

Taikisha, Ltd.

    78,723  

43,231

 

Teledyne Technologies, Inc.p

    13,919,950  

9,220

 

Tennant Company

    651,854  

14,158

 

Thermon Group Holdings, Inc.p

    325,351  

7,300

 

Toppan Forms Company, Ltd.

    69,340  

4,894

 

Transcontinental, Inc.

    57,183  

4,784

 

TransDigm Group, Inc.

    2,490,885  

128,142

 

TriMas Corporationp

    3,927,552  

11,021

 

TrueBlue, Inc.p

    232,543  

5,600

 

Tsubakimoto Chain Company

    180,250  

17,535

 

UniFirst Corporation

    3,421,429  

26,730

 

United Airlines Holdings, Inc.p

    2,363,199  

23,953

 

United Rentals, Inc.p

    2,985,502  

103,671

 

United Technologies Corporation

    14,153,165  

62,330

 

Valmont Industries, Inc.

    8,628,965  

3,859

 

Vectrus, Inc.p

    156,868  

87,042

 

Verisk Analytics, Inc.

    13,764,822  

16,329

 

Viad Corporation

    1,096,492  

44,560

 

Waste Connections, Inc.

    4,099,520  

16,169

 

Watsco, Inc.

    2,735,471  

102,428

 

Willdan Group, Inc.p

    3,593,174  

2,045

 

Woodward, Inc.

    220,512  

38,849

 

Xylem, Inc.

    3,093,157  

3,500

 

Yuasa Trading Company, Ltd.

    100,190  
  Total     393,171,821  

Information Technology (6.8%)

 

30,402

 

Accenture plc

    5,847,825  

55,644

 

ADTRAN, Inc.

    631,281  

11,851

 

Advanced Energy Industries, Inc.p

    680,366  

205,957

 

Advanced Micro Devices, Inc.p

    5,970,693  

82,159

 

Akamai Technologies, Inc.p

    7,507,689  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

162


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (27.0%)   Value

 

 

Information Technology (6.8%) - continued

 

16,771

 

Alliance Data Systems Corporation

    $2,148,868  

15,744

 

Alteryx, Inc.p

    1,691,378  

2,704

 

Altisource Portfolio Solutions SAg,p

    54,675  

14,522

 

Amadeus IT Holding SA

    1,040,528  

9,212

 

American Software, Inc.

    138,364  

127,173

 

Amphenol Corporation

    12,272,195  

16,792

 

ANSYS, Inc.p

    3,717,077  

272,980

 

Apple, Inc.

    61,139,331  

24,463

 

Arista Networks, Inc.p

    5,844,700  

11,335

 

Atkore International Group, Inc.p

    344,017  

19,857

 

Atlassian Corporation plcp

    2,490,862  

39,434

 

Automatic Data Processing, Inc.

    6,365,436  

36,189

 

Avalara, Inc.p

    2,435,158  

4,200

 

Badger Meter, Inc.

    225,540  

102,210

 

Benchmark Electronics, Inc.

    2,970,223  

61,932

 

Blackline, Inc.p

    2,960,969  

22,935

 

Booz Allen Hamilton Holding Corporation

    1,628,844  

2,586

 

Broadridge Financial Solutions, Inc.

    321,776  

4,298

 

CACI International, Inc.p

    993,955  

40,100

 

Canon, Inc.

    1,072,361  

11,904

 

Capgemini SA

    1,401,715  

90,235

 

CDK Global, Inc.

    4,339,401  

17,718

 

CDW Corporation

    2,183,566  

7,134

 

CEVA, Inc.p

    213,021  

28,009

 

CGI, Inc.p

    2,214,759  

146,349

 

Ciena Corporationp

    5,741,271  

708,475

 

Cisco Systems, Inc.

    35,005,750  

109,823

 

Clearwater Energy, Inc.

    1,904,331  

24,571

 

Cognex Corporation

    1,207,173  

54,972

 

Cohu, Inc.

    742,397  

16,866

 

Computer Services, Inc.

    767,403  

43,194

 

Computershare, Ltd.

    472,189  

15,098

 

CoreLogic, Inc.p

    698,584  

55,494

 

Coupa Software, Inc.p

    7,190,358  

44,928

 

CTS Corporation

    1,453,870  

48,489

 

Descartes Systems Group, Inc.p

    1,954,592  

121,655

 

DocuSign, Inc.p

    7,532,878  

251,469

 

Dolby Laboratories, Inc.

    16,254,956  

22,419

 

DSP Group, Inc.p

    315,772  

31,689

 

Ebix, Inc.g

    1,334,107  

49,812

 

Elastic NVp

    4,101,520  

17,094

 

EPAM Systems, Inc.p

    3,116,578  

19,139

 

ePlus, Inc.p

    1,456,287  

23,570

 

Euronet Worldwide, Inc.p

    3,448,291  

29,442

 

ExlService Holdings, Inc.p

    1,971,436  

8,213

 

eXp World Holdings, Inc.g,p

    68,825  

15,653

 

Fair Isaac Corporationp

    4,750,999  

66,366

 

Fiserv, Inc.p

    6,874,854  

58,187

 

Five9, Inc.p

    3,126,969  

34,502

 

Global Payments, Inc.

    5,485,818  

71,659

 

Guidewire Software, Inc.p

    7,551,425  

51,345

 

Halma plc

    1,242,821  

7,782

 

InterDigital, Inc.

    408,322  

3,117

 

International Business Machines Corporation

    453,274  

9,590

 

International Money Express, Inc.p

    131,767  

54,900

 

Intuit, Inc.

    14,600,106  

33,603

 

Keysight Technologies, Inc.p

    3,267,892  

22,222

 

KLA-Tencor Corporation

    3,543,298  

32,155

 

Kulicke and Soffa Industries, Inc.

    754,999  

19,709

 

Lam Research Corporation

    4,554,947  

117,182

 

Lattice Semiconductor Corporationp

    2,142,673  

14,833

 

ManTech International Corporation

    1,059,225  

141,036

 

MasterCard, Inc.

    38,301,147  

39,095

 

Methode Electronics, Inc.

    1,315,156  
Shares   Common Stock (27.0%)   Value

 

 

Information Technology (6.8%) - continued

 

679,004

 

Microsoft Corporation

    $94,401,926  

36,105

 

MicroStrategy, Inc.p

    5,356,899  

17,599

 

MKS Instruments, Inc.

    1,624,036  

78,209

 

Monolithic Power Systems, Inc.

    12,171,667  

22,731

 

MTS Systems Corporation

    1,255,888  

39,986

 

National Instruments Corporation

    1,679,012  

9,100

 

NEC Networks & System Integration Corporation

    247,824  

30,961

 

New Relic, Inc.p

    1,902,553  

67,173

 

NIC, Inc.

    1,387,122  

35,948

 

Nice, Ltd. ADRp

    5,169,322  

43,101

 

Nova Measuring Instruments, Ltd.p

    1,369,319  

22,300

 

Novanta, Inc.p

    1,822,356  

68,860

 

NVIDIA Corporation

    11,986,460  

140,514

 

Oracle Corporation

    7,732,485  

20,915

 

Palo Alto Networks, Inc.p

    4,263,104  

221,377

 

PayPal Holdings, Inc.p

    22,932,443  

12,795

 

Plantronics, Inc.

    477,509  

32,588

 

Plexus Corporationp

    2,037,076  

24,416

 

Progress Software Corporation

    929,273  

44,882

 

Proofpoint, Inc.p

    5,792,022  

35,106

 

Q2 Holdings, Inc.p

    2,768,810  

31,879

 

QAD, Inc.

    1,472,172  

33,153

 

QUALCOMM, Inc.

    2,528,911  

133,622

 

Rambus, Inc.p

    1,753,789  

44,812

 

Rogers Corporationp

    6,126,249  

3,500

 

Ryoyo Electro Corporation

    60,037  

173,107

 

SailPoint Technologies Holdings, Inc.p

    3,235,370  

118,860

 

Salesforce.com, Inc.p

    17,643,578  

2,741

 

Samsung Electronics Company, Ltd. GDR

    2,792,753  

32,655

 

ScanSource, Inc.p

    997,610  

28,838

 

ServiceNow, Inc.p

    7,320,526  

17,200

 

Shinko Electric Industries Company, Ltd.

    147,611  

16,694

 

Silicon Laboratories, Inc.p

    1,858,877  

108,887

 

Square, Inc.p

    6,745,550  

16,924

 

Sykes Enterprises, Inc.p

    518,551  

95,505

 

Synopsys, Inc.p

    13,108,061  

70,278

 

TE Connectivity, Ltd.

    6,548,504  

40,795

 

Teradata Corporationp

    1,264,645  

41,015

 

Teradyne, Inc.

    2,375,179  

177,505

 

Texas Instruments, Inc.

    22,940,746  

31,780

 

Tyler Technologies, Inc.p

    8,342,250  

21,804

 

VeriSign, Inc.p

    4,112,889  

81,695

 

Virtusa Corporationp

    2,942,654  

239,236

 

Visa, Inc.

    41,150,984  

22,298

 

WEX, Inc.p

    4,505,757  

30,267

 

Workday, Inc.p

    5,144,179  

29,555

 

Xilinx, Inc.

    2,834,325  
  Total     692,929,696  

Materials (0.8%)

 

75,160

 

Alcoa Corporationp

    1,508,461  

7,109

 

Avery Dennison Corporation

    807,369  

8,176

 

Balchem Corporation

    810,977  

32,402

 

Ball Corporation

    2,359,190  

39,149

 

BHP Group, Ltd.

    967,394  

19,380

 

Boise Cascade Company

    631,594  

20,549

 

Celanese Corporation

    2,512,937  

76,995

 

CF Industries Holdings, Inc.

    3,788,154  

11,437

 

Continental Building Products, Inc.p

    312,116  

66,383

 

Eastman Chemical Company

    4,901,057  

74,316

 

Ecolab, Inc.

    14,717,541  

91,439

 

Ferro Corporationp

    1,084,467  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

163


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (27.0%)   Value

 

 

Materials (0.8%) - continued

 

90,800

 

Ferroglobe Representation & Warranty Insurance Trustc,p

    $9  

18,628

 

Granges AB

    190,100  

3,180

 

Hexpol AB

    24,408  

4,500

 

Hokuetsu Corporation

    22,612  

3,458

 

Innophos Holdings, Inc.

    112,247  

50,222

 

Innospec, Inc.

    4,476,789  

26,200

 

JSR Corporation

    421,840  

32,193

 

Kadant, Inc.

    2,826,224  

62,163

 

Kaiser Aluminum Corporation

    6,152,272  

7,762

 

Koninklijke DSM NV

    934,407  

23,789

 

Kraton Performance Polymers, Inc.p

    768,147  

17,700

 

Kyoei Steel, Ltd.

    333,505  

2,900

 

Lintec Corporation

    57,729  

152,392

 

Louisiana-Pacific Corporation

    3,745,795  

21,049

 

Martin Marietta Materials, Inc.

    5,769,531  

36,797

 

Materion Corporation

    2,257,864  

10,212

 

Minerals Technologies, Inc.

    542,155  

16,900

 

Mitsubishi Gas Chemical Company, Inc.

    227,303  

67,600

 

Myers Industries, Inc.

    1,193,140  

26,032

 

Neenah, Inc.

    1,695,204  

2,300

 

Nippon Kayaku Company, Ltd.

    27,579  

71,200

 

Nippon Steel Corporation

    997,679  

31,662

 

Nucor Corporation

    1,611,912  

87,491

 

Nutanix, Inc.p

    2,296,639  

9,566

 

Olympic Steel, Inc.

    137,750  

10,861

 

PH Glatfelter Company

    167,151  

26,767

 

PPG Industries, Inc.

    3,172,157  

25,392

 

Reliance Steel & Aluminum Company

    2,530,567  

43,537

 

Ryerson Holding Corporationp

    371,371  

38,929

 

Sandfire Resources NL

    172,561  

900

 

Sanyo Special Steel Company, Ltd.

    12,066  

65,110

 

Schweitzer-Mauduit International, Inc.

    2,437,718  

53,465

 

Steel Dynamics, Inc.

    1,593,257  

14,758

 

SunCoke Energy, Inc.p

    83,235  

2,600

 

Taiyo Holdings Company, Ltd.

    87,892  

12,700

 

Toagosei Company, Ltd.

    144,016  

11,920

 

United States Lime & Minerals, Inc.

    911,880  

12,538

 

UPM-Kymmene Oyj

    370,231  

73,858

 

Verso Corporationp

    914,362  

6,600

 

W. R. Grace & Company

    440,616  
  Total     84,633,177  

Real Estate (1.2%)

 

8,248

 

Acadia Realty Trust

    235,728  

17,279

 

Agree Realty Corporation

    1,263,959  

29,441

 

Alexander & Baldwin, Inc.

    721,599  

15,832

 

Alexandria Real Estate Equities, Inc.

    2,438,761  

5,968

 

Allied Properties REIT

    241,315  

5,941

 

Alstria Office REIT AG

    101,923  

1,532

 

American Assets Trust, Inc.

    71,606  

67,047

 

American Campus Communities, Inc.

    3,223,620  

58,356

 

American Tower Corporation

    12,904,262  

22,618

 

Apartment Investment & Management Company

    1,179,303  

60,316

 

Apple Hospitality REIT, Inc.

    1,000,039  

21,507

 

Ares Commercial Real Estate Corporation

    327,552  

28,983

 

Armada Hoffler Properties, Inc.

    524,302  

46,100

 

Ascendas REIT

    104,113  

70,976

 

Ashford Hospitality Trust, Inc.

    234,931  

7,282

 

BBX Capital Corporation

    34,007  

8,594

 

Bluerock Residential Growth REIT, Inc.

    101,151  
Shares   Common Stock (27.0%)   Value

 

 

Real Estate (1.2%) - continued

 

20,428

 

Brandywine Realty Trust

    $309,484  

91,379

 

Brixmor Property Group, Inc.

    1,854,080  

36,717

 

Camden Property Trust

    4,075,954  

6,146

 

CareTrust REIT, Inc.

    144,462  

13,682

 

Castellum AB

    292,918  

131,036

 

CBL & Associates Properties, Inc.

    169,036  

114,776

 

Cedar Realty Trust, Inc.

    344,328  

28,119

 

Chatham Lodging Trust

    510,360  

6,670

 

Choice Properties REIT

    72,699  

22,182

 

City Office REIT, Inc.

    319,199  

162

 

Cofinimmo SA

    22,813  

3,057

 

Columbia Property Trust, Inc.

    64,656  

19,697

 

CoreCivic, Inc.

    340,364  

18,533

 

Corepoint Lodging, Inc.

    187,369  

25,016

 

CoreSite Realty Corporation

    3,048,200  

27,862

 

Corporate Office Properties Trust

    829,730  

10,238

 

CoStar Group, Inc.p

    6,073,182  

62,089

 

Cousins Properties, Inc.

    2,333,926  

14,332

 

CubeSmart

    500,187  

17,966

 

CyrusOne, Inc.

    1,421,111  

7,100

 

Daito Trust Construction Company, Ltd.

    909,357  

1,381

 

Deutsche EuroShop AG

    38,954  

14,261

 

DiamondRock Hospitality Company

    146,175  

12,693

 

Digital Realty Trust, Inc.

    1,647,678  

25,989

 

Douglas Emmett, Inc.

    1,113,109  

57,708

 

Duke Realty Corporation

    1,960,341  

4,273

 

EastGroup Properties, Inc.

    534,210  

42,822

 

Empire State Realty Trust, Inc.

    611,070  

1,815

 

Entra ASAh

    28,467  

13,437

 

EPR Properties

    1,032,768  

15,558

 

Equity Commonwealth

    532,861  

2,051

 

Equity Lifestyle Properties, Inc.

    274,014  

570

 

Essex Property Trust, Inc.

    186,190  

24,520

 

Farmland Partners, Inc.

    163,794  

2,659

 

First Capital Realty, Inc.

    44,295  

22,843

 

First Industrial Realty Trust, Inc.

    903,669  

3,465

 

Four Corners Property Trust, Inc.

    97,990  

64,475

 

Franklin Street Properties Corporation

    545,458  

41,088

 

Gaming and Leisure Properties, Inc.

    1,571,205  

38,554

 

GEO Group, Inc.

    668,526  

12,523

 

Getty Realty Corporation

    401,487  

23,316

 

Gladstone Commercial Corporation

    547,926  

3,189

 

Global Net Lease, Inc.

    62,186  

55

 

GLP J-Reit

    72,943  

10,098

 

Granite REIT

    488,951  

3,406

 

H&R REIT

    59,464  

25,010

 

Healthcare Realty Trust, Inc.

    837,835  

42,109

 

Healthcare Trust of America, Inc.

    1,237,162  

37,995

 

Highwoods Properties, Inc.

    1,707,495  

175,280

 

Host Hotels & Resorts, Inc.

    3,030,591  

1,757

 

Howard Hughes Corporationp

    227,707  

16,645

 

Hudson Pacific Properties, Inc.

    556,942  

101,000

 

Hysan Development Company, Ltd.

    407,295  

7,780

 

Industrial Logistics Properties Trust

    165,325  

6,083

 

Investors Real Estate Trust

    454,218  

35,009

 

iSTAR Financial, Inc.

    456,867  

19,151

 

JBG SMITH Properties

    750,911  

10,884

 

Jones Lang LaSalle, Inc.

    1,513,529  

20,553

 

Kilroy Realty Corporation

    1,600,873  

22,618

 

Kite Realty Group Trust

    365,281  

25,813

 

Klepierre SA

    876,625  

17,739

 

Lamar Advertising Company

    1,453,356  

546

 

LEG Immobilien AG

    62,481  

19,766

 

Lexington Realty Trust

    202,602  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

164


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (27.0%)   Value

Real Estate (1.2%) - continued

 

11,990

 

Liberty Property Trust

    $615,447  

6,290

 

Life Storage, Inc.

    663,029  

3,261

 

LTC Properties, Inc.

    167,028  

7,315

 

Mack-Cali Realty Corporation

    158,443  

44,200

 

Mapletree Commercial Trust

    73,271  

29,700

 

Mapletree Logistics Trust

    34,816  

69,191

 

Medical Properties Trust, Inc.

    1,353,376  

8,883

 

Merlin Properties Socimi SA

    124,019  

6,984

 

MGM Growth Properties LLC

    209,869  

255,174

 

Mirvac Group

    527,156  

33,161

 

Monmouth Real Estate Investment Corporation

    477,850  

4,993

 

National Health Investors, Inc.

    411,373  

22,025

 

National Storage Affiliates Trust

    734,974  

16,013

 

Office Properties Income Trust

    490,638  

28,842

 

Omega Healthcare Investors, Inc.

    1,205,307  

15,606

 

One Liberty Properties, Inc.

    429,633  

38,565

 

Outfront Media, Inc.

    1,071,336  

27,316

 

Paramount Group, Inc.

    364,669  

27,689

 

Pebblebrook Hotel Trust

    770,308  

40,972

 

Pennsylvania REIT

    234,360  

65,285

 

Physicians Realty Trust

    1,158,809  

11,012

 

Piedmont Office Realty Trust, Inc.

    229,931  

26,374

 

PotlatchDeltic Corporation

    1,083,576  

11,621

 

Preferred Apartment Communities, Inc.

    167,923  

2,136

 

PS Business Parks, Inc.

    388,645  

4,103

 

PSP Swiss Property AG

    520,925  

29,035

 

QTS Realty Trust, Inc.

    1,492,689  

8,985

 

Quebecor, Inc.

    204,000  

23,976

 

Rayonier, Inc. REIT

    676,123  

11,829

 

RE/MAX Holdings, Inc.

    380,421  

57,487

 

Realogy Holdings Corporationg

    384,013  

14,228

 

Redfin Corporationg,p

    239,600  

10,359

 

Retail Opportunity Investments Corporation

    188,845  

72,978

 

Retail Properties of America, Inc.

    899,089  

7,594

 

RioCan REIT

    151,209  

22,854

 

RLJ Lodging Trust

    388,289  

3,178

 

RMR Group, Inc.

    144,535  

29,000

 

Road King Infrastructure, Ltd.

    48,988  

28,229

 

RPT Realty

    382,503  

10,887

 

Ryman Hospitality Properties

    890,665  

54,744

 

Sabra Health Care REIT, Inc.

    1,256,922  

4,238

 

Saul Centers, Inc.

    231,013  

28,983

 

SBA Communications Corporation

    6,989,250  

73,307

 

Senior Housing Property Trust

    678,456  

11,359

 

Seritage Growth Properties

    482,644  

61,380

 

Service Properties Trust

    1,582,990  

14,717

 

SITE Centers Corporation

    222,374  

24,620

 

Spirit Realty Capital, Inc.

    1,178,313  

28,848

 

St. Joe Companyg,p

    494,166  

10,599

 

STAG Industrial, Inc.

    312,459  

24,353

 

Store Capital Corporation

    911,046  

51,412

 

Summit Hotel Properties, Inc.

    596,379  

26,008

 

Sunstone Hotel Investors, Inc.

    357,350  

1,770

 

Swiss Prime Site AG

    173,220  

12,972

 

TAG Immobilien AG

    296,029  

15,636

 

Tanger Factory Outlet Centers, Inc.

    242,045  

10,724

 

Taubman Centers, Inc.

    437,861  

11,560

 

Terreno Realty Corporation

    590,600  

20,065

 

UMH Properties, Inc.

    282,515  

2,254

 

Universal Health Realty Income Trust

    231,711  

38,513

 

Urban Edge Properties

    762,172  

15,417

 

Urstadt Biddle Properties, Inc.

    365,383  

53,367

 

VICI Properties, Inc.

    1,208,763  
Shares   Common Stock (27.0%)   Value

Real Estate (1.2%) - continued

 

80,112

 

Washington Prime Group, Inc.

    $331,664  

4,953

 

Washington REIT

    135,514  

22,277

 

Weingarten Realty Investors

    648,929  

3,804

 

Weyerhaeuser Company

    105,371  

77,400

 

Wing Tai Holdings, Ltd.

    114,793  

11,139

 

Xenia Hotels & Resorts, Inc.

    235,256  
  Total     119,765,280  

Utilities (0.3%) 

 

58,064

 

AGL Energy, Ltd.

    751,172  

39,731

 

Alliant Energy Corporation

    2,142,693  

24,687

 

Artesian Resources Corporation

    913,419  

5,424

 

Chesapeake Utilities Corporation

    517,016  

33,494

 

CMS Energy Corporation

    2,141,941  

21,383

 

Consolidated Water Company, Ltd.

    352,606  

13,345

 

Contact Energy, Ltd.

    71,373  

35,492

 

Enagas SA

    820,454  

22,252

 

Entergy Corporation

    2,611,495  

141,280

 

Exelon Corporation

    6,825,237  

5,063

 

IDACORP, Inc.

    570,448  

13,203

 

Middlesex Water Company

    857,667  

15,672

 

New Jersey Resources Corporation

    708,688  

4,738

 

Northland Power, Inc.

    90,908  

11,120

 

NorthWestern Corporation

    834,556  

11,562

 

Otter Tail Corporation

    621,457  

26,010

 

PNM Resources, Inc.

    1,354,601  

28,073

 

Public Service Enterprise Group, Inc.

    1,742,772  

16,467

 

Spire, Inc.

    1,436,581  

13,177

 

Unitil Corporation

    835,949  
  Total     26,201,033  
           
  Total Common Stock
(cost $2,106,739,139)
    2,745,590,303  
Shares   Collateral Held for Securities Loaned
(0.3%)
  Value

32,049,425

 

Thrivent Cash Management Trust

    32,049,425  
  Total Collateral Held for Securities Loaned
(cost $32,049,425)
    32,049,425  
Shares or
Principal
Amount
  Short-Term Investments (12.2%)   Value
 

Federal Home Loan Bank Discount Notes

 

5,500,000

 

2.182%, 10/2/2019m,q

    5,499,713  

500,000

 

2.085%, 10/11/2019m,q

    499,739  

12,300,000

 

1.950%, 10/16/2019m,q

    12,290,365  

800,000

 

0.170%, 10/30/2019m,q

    798,788  

7,500,000

 

1.980%, 11/5/2019m,q

    7,486,292  

300,000

 

1.980%, 11/8/2019m,q

    299,405  

3,000,000

 

1.940%, 11/12/2019m,q

    2,993,420  

5,500,000

 

1.970%, 11/19/2019m,q

    5,485,926  
 

Thrivent Core Short-Term Reserve Fund

 

120,630,077

 

2.230%

    1,206,300,767  
  Total Short-Term Investments
(cost $1,241,652,263)
    1,241,654,415  
  Total Investments
(cost $9,821,872,997) 108.4%
    $11,006,305,259  
  Other Assets and Liabilities, Net (8.4%)     (857,291,786
  Total Net Assets 100.0%     $10,149,013,473  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

165


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

a

The stated interest rate represents the weighted average of all contracts within the bank loan facility.

b

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

c

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

d

All or a portion of the loan is unfunded.

e

Denotes investments purchased on a when-issued or delayed delivery basis.

f

In bankruptcy. Interest is not being accrued.

g

All or a portion of the security is on loan.

h

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $346,645,228 or 3.4% of total net assets.

i

Denotes step coupon securities. Step coupon securities pay an initial coupon rate for the first period and then different coupon rates for following periods. The rate shown is as of September 30, 2019.

j

Denotes interest only security. Interest only securities represent the right to receive monthly interest payments on an underlying pool of mortgages or assets. The principal shown is the outstanding par amount of the pool as of the end of the period. The actual effective yield of the security is different than the stated coupon rate.

k

All or a portion of the security is insured or guaranteed.

l

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

m

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

n

At September 30, 2019, $1,786,124 of investments were segregated to cover exposure to a counterparty for margin on open mortgage-backed security transactions.

o

Defaulted security. Interest is not being accrued.

p

Non-income producing security.

q

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Moderate Allocation Portfolio as of September 30, 2019:

Securities Lending Transactions

Common Stock

   $ 26,938,195  

Long-Term Fixed Income

     3,881,061  

Total lending

   $ 30,819,256  
Gross amount payable upon return of collateral for securities loaned    $ 32,049,425  

Net amounts due to counterparty

     $1,230,169  

Definitions:

ACES   -    Alternative Credit Enhancement Securities
ADR   -    American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
CLO   -    Collateralized Loan Obligation
ETF   -    Exchange Traded Fund
GDR   -    Global Depository Receipts, which are certificates for shares of an underlying foreign security’s shares held by an issuing depository bank from more than one country.
REMIC   -    Real Estate Mortgage Investment Conduit
REIT   -    Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Ser.   -    Series
SPDR   -    S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.
TIPS   -    Treasury Inflation Protected Security

 

Reference Rate Index:
CMT 3M    -    Constant Maturity Treasury Yield 3 Month
LIBOR 1W    -    ICE Libor USD Rate 1 Week
LIBOR 1M    -    ICE Libor USD Rate 1 Month
LIBOR 2M    -    ICE Libor USD Rate 2 Month
LIBOR 3M    -    ICE Libor USD Rate 3 Month
LIBOR 12M    -    ICE Libor USD Rate 12 Month
PRIME    -    Federal Reserve Prime Loan Rate
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

166


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Moderate Allocation Portfolio’s assets carried at fair value.

 

Investments in Securities    Total      Level 1      Level 2      Level 3  

Bank Loans

           

Basic Materials

     8,864,328               7,792,257        1,072,071  

Capital Goods

     18,570,295               18,570,295         

Communications Services

     34,036,797               28,812,623        5,224,174  

Consumer Cyclical

     23,679,335               19,819,514        3,859,821  

Consumer Non-Cyclical

     30,625,336               30,625,336         

Energy

     13,657,312               12,792,669        864,643  

Financials

     21,847,823               20,336,786        1,511,037  

Technology

     9,832,030               9,832,030         

Utilities

     2,933,138               2,193,493        739,645  

Registered Investment Companies

           

Unaffiliated

     63,017,194        63,017,194                

Affiliated

     3,114,640,599        3,114,640,599                

Long-Term Fixed Income

           

Asset-Backed Securities

     113,751,722               113,751,722         

Basic Materials

     28,793,190               28,793,190         

Capital Goods

     50,269,802               50,269,802         

Collateralized Mortgage Obligations

     95,711,469               95,711,469         

Commercial Mortgage-Backed Securities

     125,711,485               125,711,485         

Communications Services

     94,325,076               94,325,076         

Consumer Cyclical

     72,137,894               72,137,894         

Consumer Non-Cyclical

     129,815,119               129,815,119         

Energy

     100,380,101               100,380,101         

Financials

     233,535,064               233,535,064         

Foreign Government

     1,269,505               1,269,505         

Mortgage-Backed Securities

     859,418,137               859,418,137         

Technology

     55,426,454               55,426,454         

Transportation

     17,143,912               17,143,912         

U.S. Government & Agencies

     965,408,396               965,408,396         

Utilities

     76,623,398               76,623,398         

Common Stock

           

Communications Services

     156,604,209        152,987,893        3,616,316         

Consumer Discretionary

     337,838,701        328,407,875        9,430,826         

Consumer Staples

     103,860,350        93,981,990        9,878,360         

Energy

     59,896,084        56,744,352        3,151,732         

Financials

     398,272,590        379,508,524        18,764,066         

Health Care

     372,417,362        361,763,472        10,653,890         

Industrials

     393,171,821        378,306,203        14,865,618         

Information Technology

     692,929,696        682,237,098        10,692,598         

Materials

     84,633,177        79,641,846        4,991,322        9  

Real Estate

     119,765,280        113,672,241        6,093,039         

Utilities

     26,201,033        24,467,126        1,733,907         

Short-Term Investments

     35,353,648               35,353,648         

Subtotal Investments in Securities

     $9,142,368,862        $5,829,376,413        $3,299,721,049        $13,271,400  

Other Investments *

         Total           

Affiliated Registered Investment Companies

     625,586,205           

Affiliated Short-Term Investments

     1,206,300,767           

Collateral Held for Securities Loaned

     32,049,425           

Subtotal Other Investments

     $1,863,936,397           
                   

Total Investments at Value

     $11,006,305,259           

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

167


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Other Financial Instruments      Total        Level 1        Level 2      Level 3  

Asset Derivatives

                 

Futures Contracts

       23,726,089          23,726,089                  

Total Asset Derivatives

       $23,726,089          $23,726,089          $–        $–  

Liability Derivatives

                 

Futures Contracts

       14,442,275          14,442,275                  

Total Liability Derivatives

       $14,442,275          $14,442,275          $–        $–  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

The following table presents Moderate Allocation Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $55,803,623 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
     Expiration
Date
     Notional Principal
Amount
     Value and
Unrealized
 

CBOT 2-Yr. U.S. Treasury Note

     1,143        December 2019        $246,882,582        ($566,082

CBOT 5-Yr. U.S. Treasury Note

     252        December 2019        30,219,003        (193,596

CBOT U.S. Long Bond

     730        December 2019        119,471,450        (983,325

CME E-mini S&P 500 Index

     6,604        December 2019        992,306,540        (8,805,840

CME Euro Foreign Exchange Currency

     509        December 2019        70,414,958        (666,051

CME Ultra Long Term U.S. Treasury Bond

     222        December 2019        42,910,908        (307,721

Eurex Euro STOXX 50 Index

     1,826        December 2019        69,829,738        923,856  

ICE mini MSCI EAFE Index

     1,455        December 2019        138,784,743        (676,143

ICE US mini MSCI Emerging Markets Index

     1,892        December 2019        97,023,257        (2,243,517

Total Futures Long Contracts

                       $1,807,843,179        ($13,518,419

CBOT 10-Yr. U.S. Treasury Note

     (226      December 2019        ($29,702,495      $251,870  

CME E-mini Russell 2000 Index

     (5,861      December 2019        (464,318,513      17,417,263  

CME E-mini S&P Mid-Cap 400 Index

     (1,719      December 2019        (337,801,903      4,659,703  

Ultra 10-Yr. U.S. Treasury Note

     (197      December 2019        (28,527,428      473,397  

Total Futures Short Contracts

                       ($860,350,339      $22,802,233  

Total Futures Contracts

                       $947,492,840        $9,283,814  

 

Reference Description:

CBOT

    -      Chicago Board of Trade

CME

    -      Chicago Mercantile Exchange

EAFE

    -      Europe, Australasia and Far East

ICE

    -      Intercontinental Exchange

MSCI

    -      Morgan Stanley Capital International

S&P

    -      Standard & Poor’s

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

168


MODERATE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.    

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Moderate Allocation Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Registered Investment Companies

                 

Core Emerging Markets Debt

     $169,164        $25,176        $1,500        $206,376        21,037        2.0%  

Core International Equity

     88,641                      97,557        10,367        1.0  

Core Low Volatility Equity

     283,487        19        30,000        321,653        26,539        3.2  

Global Stock Fund

     308,131        25,510               348,762        27,108        3.4  

High Yield

     175,804        7,991        3,000        193,034        40,766        1.9  

Income

     541,636        14,920        6,000        603,255        57,030        6.0  

International Allocation

     476,513        16,649               530,075        55,936        5.2  

Large Cap Value

     548,101        37,702               632,266        35,530        6.2  

Limited Maturity Bond

     322,548        6,517        2,500        333,278        33,584        3.3  

Mid Cap Stock

     315,657        36,046               374,027        20,466        3.7  

Small Cap Stock

     85,793        12,061               99,945        5,622        1.0  

Total Affiliated Registered Investment Companies

     3,315,475                          3,740,228                 36.9  

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     1,097,492        1,338,119        1,229,310        1,206,301        120,630        11.9  

Total Affiliated Short-Term Investments

     1,097,492                          1,206,301                 11.9  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     60,281        521,442        549,674        32,049        32,049        0.3  

Total Collateral Held for Securities Loaned

     60,281                          32,049                 0.3  

Total Value

     $4,473,248                          $4,978,578                    

 

Portfolio    Net Realized
Gain/(Loss)
    Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Registered Investment Companies

          

Core Emerging Markets Debt

     $(29     $13,565               $6,625  

Core International Equity

           8,916                

Core Low Volatility Equity

     4,686       63,462        19         

Global Stock

           15,121        20,485        5,025  

High Yield

     (165     12,404               7,989  

Income

     39       52,660               14,883  

International Allocation

           36,913        4,418        12,231  

Large Cap Value

           46,463        28,125        9,578  

Limited Maturity Bond

     1       6,711               6,521  

Mid Cap Stock

           22,324        33,779        2,267  

Small Cap Stock

           2,091        11,665        396  

Affiliated Short-Term Investments

          

Core Short-Term Reserve, 2.230%

                         20,624  

Total Income from Affiliated Investments

                               $86,139  

Collateral Held for Securities Loaned

          

Cash Management Trust- Collateral Investment

                         153  

Total Affiliated Income from Securities Loaned, Net

                               $153  

Total Value

     $4,532       $280,630        $98,491           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

169


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
   Bank Loans (0.9%)a    Value  

 

 

Basic Materials (<0.1%)

  
  

Arch Coal, Inc., Term Loan

  
$502,273   

4.794%, (LIBOR 1M + 2.750%), 3/7/2024b

   $ 495,577  
  

Ball Metalpack Finco, LLC, Term Loan

  
222,187   

6.624%, (LIBOR 3M + 4.500%), 7/31/2025b

     208,301  
  

Big River Steel, LLC, Term Loan

  
436,100   

7.104%, (LIBOR 3M + 5.000%), 8/23/2023b,c

     431,739  
  

Chemours Company, Term Loan

  
502,350   

3.800%, (LIBOR 1M + 1.750%), 4/3/2025b

     483,638  
  

Momentive Performance Materials USA, LLC, Term Loan

  
337,155   

5.300%, (LIBOR 1M + 3.250%), 5/15/2024b

     334,626  
  

MRC Global (US), Inc., Term Loan

  
433,383   

5.044%, (LIBOR 1M + 3.000%), 9/22/2024b

     433,383  
  

Peabody Energy Corporation, Term Loan

  
354,600   

4.794%, (LIBOR 1M + 2.750%), 3/31/2025b

     328,448  
  

Pixelle Specialty Solutions, LLC, Term Loan

  
590,538   

8.044%, (LIBOR 1M + 6.000%), 10/31/2024b

     582,418  
  

Starfruit US Holdco, LLC, Term Loan

  
263,675   

5.292%, (LIBOR 1M + 3.250%), 10/1/2025b,d,e

     257,874  
  

 

 
   Total      3,556,004  
  

 

 

Capital Goods (0.1%)

  
  

Advanced Disposal Services, Inc., Term Loan

  
441,904   

4.197%, (LIBOR 1W + 2.250%), 11/10/2023b

     443,067  
  

Flex Acquisition Company, Inc. Term Loan

  
1,599,878   

5.569%, (LIBOR 3M + 3.250%), 6/29/2025b

     1,538,378  
  

GFL Environmental, Inc., Term Loan

  
642,999   

5.044%, (LIBOR 1M + 3.000%), 5/31/2025b

     637,257  
  

Navistar, Inc., Term Loan

  
108,350   

5.530%, (LIBOR 1M + 3.500%), 11/6/2024b

     107,707  
  

Sotera Health Holdings, LLC, Term Loan

  
438,318   

5.044%, (LIBOR 1M + 3.000%), 5/15/2022b

     432,839  
  

TransDigm, Inc., Term Loan

  
537,273   

4.544%, (LIBOR 1M + 2.500%), 6/9/2023b

     535,500  
  

Vertiv Group Corporation, Term Loan

  
1,220,969   

6.044%, (LIBOR 1M + 4.000%), 11/15/2023b

     1,159,920  
  

 

 
   Total      4,854,668  
  

 

 

Communications Services (0.2%)

  
  

Altice France SA, Term Loan

  
303,025   

4.794%, (LIBOR 1M + 2.750%), 7/31/2025b

     295,165  
Principal
Amount
   Bank Loans (0.9%)a    Value  

 

 

Communications Services (0.2%) - continued

  
  

CenturyLink, Inc., Term Loan

  
$1,832,017   

4.794%, (LIBOR 1M + 2.750%), 1/31/2025b

     $1,818,790  
  

Charter Communications Operating, LLC, Term Loan

  
840,037   

4.050%, (LIBOR 1M + 2.000%), 4/30/2025b

     844,658  
  

CSC Holdings, LLC, Term Loan

  
87,975   

4.278%, (LIBOR 1M + 2.250%), 7/17/2025b

     87,833  
  

Diamond Sports Group, LLC, Term Loan

  
470,000   

5.300%, (LIBOR 1M + 3.250%), 8/24/2026b

     472,350  
  

Entercom Media Corporation, Term Loan

  
48,874   

4.804%, (LIBOR 1M + 2.750%), 11/17/2024b

     48,886  
  

Frontier Communications Corporation, Term Loan

  
1,043,457   

5.800%, (LIBOR 1M + 3.750%), 6/15/2024b

     1,040,107  
  

HCP Acquisition, LLC, Term Loan

  
688,125   

5.044%, (LIBOR 1M + 3.000%), 5/16/2024b

     686,921  
  

Intelsat Jackson Holdings SA, Term Loan

  
685,000   

5.804%, (LIBOR 1M + 3.750%), 11/27/2023b

     686,500  
  

Liberty Cablevision of Puerto Rico, LLC, Term Loan

  
2,910,000   

5.528%, (LIBOR 1M + 3.500%), 1/7/2022b,c

     2,899,087  
133,243   

8.778%, (LIBOR 1M + 6.750%), 7/7/2023b,c

     131,245  
  

Mediacom Illinois, LLC, Term Loan

  
265,950   

3.680%, (LIBOR 1W + 1.750%), 2/15/2024b

     266,282  
  

NEP Group, Inc., Term Loan

  
714,600   

5.294%, (LIBOR 1M + 3.250%), 10/20/2025b

     700,158  
70,000   

9.044%, (LIBOR 1M + 7.000%), 10/19/2026b

     68,367  
  

SBA Senior Finance II, LLC, Term Loan

  
375,250   

4.050%, (LIBOR 1M + 2.000%), 4/11/2025b

     375,265  
  

Sprint Communications, Inc., Term Loan

  
1,462,500   

4.563%, (LIBOR 1M + 2.500%), 2/3/2024b

     1,451,078  
501,213   

5.063%, (LIBOR 1M + 3.000%), 2/3/2024b

     499,488  
  

TNS, Inc., Term Loan

  
395,873   

6.260%, (LIBOR 3M + 4.000%), 8/14/2022b

     390,034  
  

Virgin Media Bristol, LLC, Term Loan

  
130,000   

4.528%, (LIBOR 1M + 2.500%), 1/15/2026b

     130,000  
  

WideOpenWest Finance, LLC, Term Loan

  
512,540   

5.294%, (LIBOR 1M + 3.250%), 8/19/2023b

     493,960  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

170


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
   Bank Loans (0.9%)a    Value  

 

 

Communications Services (0.2%) - continued

  
  

Windstream Services, LLC, Term Loan

  
$799,211   

10.000%, (PRIME + 5.000%), 3/30/2021b,f

     $810,033  
  

 

 
   Total      14,196,207  
  

 

 

Consumer Cyclical (0.1%)

  
  

Boyd Gaming Corporation, Term Loan

  
50,211   

4.166%, (LIBOR 1W + 2.250%), 9/15/2023b

     50,331  
  

Cengage Learning, Inc., Term Loan

  
756,278   

6.294%, (LIBOR 1M + 4.250%), 6/7/2023b

     714,055  
  

Eldorado Resorts, Inc., Term Loan

  
36,693   

4.313%, (LIBOR 1M + 2.250%), 4/17/2024b

     36,617  
  

Four Seasons Hotels, Ltd., Term Loan

  
442,045   

4.044%, (LIBOR 1M + 2.000%), 11/30/2023b

     443,951  
  

Golden Entertainment, Inc., Term Loan

  
936,050   

5.060%, (LIBOR 1M + 3.000%), 10/20/2024b,c

     938,390  
  

Golden Nugget, LLC, Term Loan

  
116,245   

4.800%, (LIBOR 1M + 2.750%), 10/4/2023b,d,e

     116,039  
  

IAA, Inc., Term Loan

  
226,550   

4.313%, (LIBOR 1M + 2.250%), 6/28/2026b

     227,399  
  

Mohegan Gaming and Entertainment, Term Loan

  
739,198   

6.044%, (LIBOR 1M + 4.000%), 10/13/2023b

     683,041  
  

Penn National Gaming, Inc., Term Loan

  
372,187   

4.294%, (LIBOR 1M + 2.250%), 10/15/2025b

     373,751  
  

Scientific Games International, Inc., Term Loan

  
1,825,227   

4.876%, (LIBOR 1M + 2.750%), 8/14/2024b

     1,808,125  
  

Staples, Inc., Term Loan

  
124,688   

6.623%, (LIBOR 3M + 4.500%), 9/12/2024b

     123,025  
364,088   

7.123%, (LIBOR 3M + 5.000%), 4/12/2026b

     358,703  
  

Stars Group Holdings BV, Term Loan

  
974,110   

5.604%, (LIBOR 3M + 3.500%), 7/10/2025b

     977,763  
  

Tenneco, Inc., Term Loan

  
689,788   

5.044%, (LIBOR 1M + 3.000%), 10/1/2025b

     646,676  
  

Wyndham Hotels & Resorts, Inc., Term Loan

  
306,900   

3.794%, (LIBOR 1M + 1.750%), 5/30/2025b

     308,223  
  

 

 
   Total      7,806,089  
  

 

 

Consumer Non-Cyclical (0.2%)

  
  

Air Medical Group Holdings, Inc., Term Loan

  
1,958,187   

5.307%, (LIBOR 1M + 3.250%), 4/28/2022b

     1,828,868  
54,037   

6.294%, (LIBOR 1M + 4.250%), 3/14/2025b

     50,502  
Principal
Amount
   Bank Loans (0.9%)a    Value  

 

 

Consumer Non-Cyclical (0.2%) - continued

  
  

Amneal Pharmaceuticals, LLC, Term Loan

  
$498,571   

5.563%, (LIBOR 1M + 3.500%), 5/4/2025b

     $423,785  
  

Bausch Health Companies, Inc., Term Loan

  
852,696   

5.039%, (LIBOR 1M + 3.000%), 6/1/2025b

     855,808  
  

Chobani, LLC, Term Loan

  
537,240   

5.544%, (LIBOR 1M + 3.500%), 10/7/2023b

     532,206  
  

Endo International plc, Term Loan

  
763,506   

6.313%, (LIBOR 1M + 4.250%), 4/27/2024b

     693,599  
  

Energizer Holdings, Inc., Term Loan

  
682,837   

4.375%, (LIBOR 1M + 2.250%), 1/2/2026b

     682,414  
  

Grifols Worldwide Operations USA, Inc., Term Loan

  
667,875   

4.197%, (LIBOR 1W + 2.250%), 1/31/2025b

     671,088  
  

JBS USA LUX SA, Term Loan

  
606,950   

4.544%, (LIBOR 1M + 2.500%), 5/1/2026b

     609,481  
  

Libbey Glass, Inc., Term Loan

  
64,244   

5.042%, (LIBOR 1M + 3.000%), 4/9/2021b

     50,151  
  

Mallinckrodt International Finance SA, Term Loan

  
721,269   

5.175%, (LIBOR 3M + 3.000%), 2/24/2025b

     536,985  
  

McGraw-Hill Global Education Holdings, LLC, Term Loan

  
1,395,136   

6.044%, (LIBOR 1M + 4.000%), 5/4/2022b

     1,309,168  
  

MPH Acquisition Holdings, LLC, Term Loan

  
500,000   

4.854%, (LIBOR 3M + 2.750%), 6/7/2023b

     475,520  
  

Ortho-Clinical Diagnostics SA, Term Loan

  
1,346,997   

5.563%, (LIBOR 3M + 3.250%), 6/1/2025b

     1,300,862  
  

Plantronics, Inc., Term Loan

  
1,250,251   

4.544%, (LIBOR 1M + 2.500%), 7/2/2025b

     1,246,600  
  

 

 
   Total      11,267,037  
  

 

 

Energy (0.1%)

  
  

BCP Raptor II, LLC, Term Loan

  
443,888   

6.794%, (LIBOR 1M + 4.750%), 12/19/2025b

     397,648  
  

Calpine Corporation, Term Loan

  
543,644   

4.610%, (LIBOR 3M + 2.500%), 1/15/2024b

     544,688  
  

Consolidated Energy Finance SA, Term Loan

  
399,938   

4.547%, (LIBOR 3M + 2.500%), 5/7/2025b,c

     386,939  
  

HFOTCO, LLC, Term Loan

  
1,036,875   

4.800%, (LIBOR 1M + 2.750%), 6/26/2025b

     1,033,640  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

171


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
   Bank Loans (0.9%)a    Value  

Energy (0.1%) - continued

 

  

McDermott Technology (Americas), Inc., Term Loan

  
$731,362   

7.104%, (LIBOR 3M + 5.000%), 5/10/2025b

   $ 459,844  
  

Radiate Holdco, LLC, Term Loan

  
1,670,025   

5.044%, (LIBOR 1M + 3.000%), 2/1/2024b

     1,662,427  
  

 

 
   Total      4,485,186  
  

 

 

Financials (0.1%)

 

  

Avolon TLB Borrower 1 US, LLC, Term Loan

  
559,732   

3.794%, (LIBOR 1M + 1.750%), 1/15/2025b

     561,456  
  

Blackstone CQP Holdco, LP, Term Loan

  
718,200   

5.656%, (LIBOR 3M + 3.500%), 6/20/2024b

     720,893  
  

Cyxtera DC Holdings, Inc., Term Loan

  
112,413   

5.040%, (LIBOR 1M + 3.000%), 5/1/2024b

     101,011  
70,000   

9.300%, (LIBOR 1M + 7.250%), 5/1/2025b

     56,992  
  

Digicel International Finance, Ltd., Term Loan

  
1,101,568   

5.340%, (LIBOR 3M + 3.250%), 5/27/2024b

     951,942  
  

DTZ U.S. Borrower, LLC, Term Loan

  
737,550   

5.294%, (LIBOR 1M + 3.250%), 8/21/2025b

     737,919  
  

Genworth Holdings, Inc., Term Loan

  
172,375   

6.670%, (LIBOR 2M + 4.500%), 3/7/2023b,c

     172,806  
  

GGP Nimbus, LLC, Term Loan

  
792,000   

4.544%, (LIBOR 1M + 2.500%), 8/24/2025b

     780,619  
  

Grizzly Finco, Term Loan

  
297,000   

5.569%, (LIBOR 3M + 3.250%), 10/1/2025b

     294,339  
  

Harland Clarke Holdings Corporation, Term Loan

  
861,623   

6.854%, (LIBOR 3M + 4.750%), 11/3/2023b

     669,912  
  

Level 3 Parent, LLC, Term Loan

  
115,000   

4.294%, (LIBOR 1M + 2.250%), 2/22/2024b

     115,168  
  

MoneyGram International, Inc., Term Loan

  
404,067   

8.044%, (LIBOR 1M + 6.000%), 6/30/2023b,c

     379,823  
  

Sable International Finance, Ltd., Term Loan

  
1,368,853   

5.294%, (LIBOR 2M + 3.250%), 1/31/2026b

     1,373,603  
  

Trans Union, LLC, Term Loan

  
306,125   

0.000%, (LIBOR 3M + 2.000%), 6/19/2025b

     306,890  
  

Tronox Finance, LLC, Term Loan

  
896,546   

4.817%, (LIBOR 1M + 2.750%), 9/22/2024b

     895,748  
  

 

 
   Total      8,119,121  
  

 

 
Principal
Amount
   Bank Loans (0.9%)a    Value  

Technology (0.1%)

 

  

Prime Security Services Borrower, LLC, Term Loan

  
$1,800,000   

0.000%, (LIBOR 1M + 3.250%), 9/23/2026b,d,e

     $1,780,038  
  

Rackspace Hosting, Inc., Term Loan

  
1,280,981   

5.287%, (LIBOR 3M + 3.000%), 11/3/2023b

     1,173,494  
  

SS&C Technologies Holdings Europe SARL, Term Loan

  
178,928   

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

     179,375  
  

SS&C Technologies, Inc., Term Loan

  
270,888   

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

     271,565  
217,774   

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

     218,545  
  

 

 
   Total      3,623,017  
  

 

 

Utilities (<0.1%)

 

  

Core and Main, LP, Term Loan

  
501,075   

4.863%, (LIBOR 1M + 2.750%), 8/1/2024b

     496,380  
  

EnergySolutions, LLC, Term Loan

  
320,938   

5.854%, (LIBOR 3M + 3.750%), 5/11/2025b

     297,670  
  

Talen Energy Supply, LLC, Term Loan

  
290,000   

5.792%, (LIBOR 1M + 3.750%), 7/8/2026b

     289,275  
  

TerraForm Power Operating, LLC, Term Loan

  
236,391   

4.044%, (LIBOR 1M + 2.000%), 11/8/2022b,c

     236,686  
  

 

 
   Total      1,320,011  
  

 

 
     
  

 

 
  

Total Bank Loans

(cost $60,763,053)

     59,227,340  
  

 

 

 

Shares      Registered Investment Companies
(43.7%)
   Value  
 

Unaffiliated (0.8%)

  
  21,574     

Consumer Discretionary Select Sector SPDR Fund

     2,603,982  
  20,000     

Invesco Senior Loan ETF

     451,800  
  25,824     

iShares Russell 2000 Value Index Fund

     3,083,644  
  38,957     

Materials Select Sector SPDR Fund

     2,267,297  
  13,597     

ProShares Ultra S&P 500g

     1,746,535  
  96,796     

SPDR S&P 500 ETF Trust

     28,726,149  
  50,259     

SPDR S&P Biotech ETFg

     3,832,249  
  49,876     

SPDR S&P Metals & Mining ETFg

     1,269,344  
  23,729     

SPDR S&P Retail ETF

     1,006,821  
  113,429     

VanEck Vectors Oil Services ETF

     1,332,791  
  79,222     

Vanguard Real Estate ETF

     7,387,451  
  20,000     

Vanguard Short-Term Corporate Bond ETF

     1,621,000  
  

 

 
   Total      55,329,063  
  

 

 
 

Affiliated (42.9%)

 
  7,542,599     

Thrivent Core Emerging Markets Debt Fund

     73,992,900  
  21,771,549     

Thrivent Core International Equity Fund

     204,870,274  
  19,330,112     

Thrivent Core Low Volatility Equity Fund

     234,280,953  
  29,253,896     

Thrivent Global Stock Portfolio

     376,374,774  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

172


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Registered Investment Companies (43.7%)    Value  

Affiliated (42.9%) - continued

  
12,692,008  

Thrivent High Yield Portfolio

     $60,099,197  
16,918,418  

Thrivent Income Portfolio

     178,961,331  
55,987,573  

Thrivent International Allocation Portfolio

     530,560,641  
25,537,074  

Thrivent Large Cap Value Portfolio

     454,437,336  
10,122,054  

Thrivent Limited Maturity Bond Portfolio

     100,449,241  
24,776,142  

Thrivent Mid Cap Stock Portfolio

     452,786,470  
5,774,013  

Thrivent Small Cap Stock Portfolio

     102,638,283  
 

 

 
  Total      2,769,451,400  
 

 

 
 
 

 

 
  Total Registered Investment Companies (cost $2,506,997,690)      2,824,780,463  
 

 

 
Shares   Common Stock (31.1%)    Value  

Communications Services (1.6%)

  
169,810  

Activision Blizzard, Inc.

     8,986,345  
39,653  

Alphabet, Inc., Class Ah

     48,421,864  
3,695  

Alphabet, Inc., Class Ch

     4,504,205  
41,026  

Auto Trader Group plci

     257,136  
14,639  

CBS Corporation

     590,976  
73,117  

Comcast Corporation

     3,296,114  
17,189  

DISH Network Corporationh

     585,629  
146,177  

Facebook, Inc.h

     26,031,200  
6,302  

Hemisphere Media Group, Inc.h

     77,010  
21,000  

HKT Trust and HKT, Ltd.

     33,313  
742  

Ipsos SA

     21,137  
3,200  

KDDI Corporation

     83,497  
21,214  

Mediaset Espana Comunicacion SAg

     136,742  
23,517  

News Corporation

     336,175  
185,092  

ORBCOMM, Inc.h

     881,038  
1,885  

Rightmove plc

     12,754  
7,326  

Scholastic Corporation

     276,630  
18,782  

Seven West Media, Ltd.h

     4,949  
32,699  

Take-Two Interactive Software, Inc.h

     4,098,493  
9,984  

Telenor ASA

     200,318  
33,552  

Telstra Corporation, Ltd.

     79,534  
7,300  

TV Asahi Holdings Corporation

     115,241  
17,124  

Twitter, Inc.h

     705,509  
79,732  

Verizon Communications, Inc.

     4,812,624  
1,650  

Wolters Kluwer NV

     120,393  
12,649  

Zillow Group, Inc.h

     373,715  
 

 

 
  Total      105,042,541  
 

 

 

Consumer Discretionary (4.1%)

  
59,202  

Alibaba Group Holding, Ltd. ADRh

     9,900,350  
39,363  

Amazon.com, Inc.h

     68,330,625  
18,397  

American Axle & Manufacturing Holdings, Inc.h

     151,223  
1,000  

AOKI Holdings, Inc.

     9,644  
1,500  

Aoyama Trading Company, Ltd.

     26,180  
11,992  

Aptiv plc

     1,048,341  
1,100  

Autobacs Seven Company, Ltd.

     18,039  
12,969  

Barratt Developments plc

     103,241  
799  

Barrett Business Services, Inc.

     70,967  
2,500  

Benesse Holdings, Inc.

     65,125  
4,405  

Berkeley Group Holdings plc

     226,171  
1,586  

Booking Holdings, Inc.h

     3,112,699  
54,546  

BorgWarner, Inc.

     2,000,747  
73,438  

Bright Horizons Family Solutions, Inc.h

     11,199,295  
4,583  

Buckle, Inc.g

     94,410  
26,900  

Burlington Stores, Inc.h

     5,375,158  
61,295  

Canada Goose Holdings, Inc.g,h

     2,695,141  
7,742  

Century Casinos, Inc.h

     59,846  
Shares   Common Stock (31.1%)    Value  

Consumer Discretionary (4.1%) - continued

  
57,896  

Children’s Place, Inc.g

     $4,457,413  
5,143  

Chipotle Mexican Grill, Inc.h

     4,322,537  
1,200  

Chiyoda Company, Ltd.

     18,849  
1,217  

Cie Generale des Etablissements Michelin

     135,505  
23,900  

Citizen Watch Company, Ltd.

     117,253  
796  

Compass Group plc

     20,483  
7,499  

Cooper-Standard Holdings, Inc.h

     306,559  
2,590  

Countryside Properties plci

     10,691  
74,522  

Crocs, Inc.h

     2,068,731  
26,944  

CSS Industries, Inc.

     106,968  
24,549  

Culp, Inc.

     400,149  
15,317  

D.R. Horton, Inc.

     807,359  
53,284  

Delphi Technologies plc

     714,006  
7,000  

Denso Corporation

     309,312  
10,618  

Domino’s Pizza, Inc.

     2,597,057  
109,971  

Duluth Holdings, Inc.g,h

     932,554  
36,037  

Emerald Expositions Events, Inc.

     350,640  
22,246  

Ethan Allen Interiors, Inc.

     424,899  
13,206  

Etsy, Inc.h

     746,139  
500  

Exedy Corporation

     9,804  
56,137  

Five Below, Inc.h

     7,078,876  
415  

Genuine Parts Company

     41,330  
71,311  

G-III Apparel Group, Ltd.h

     1,837,684  
55,802  

Grand Canyon Education, Inc.h

     5,479,756  
25,176  

Harley-Davidson, Inc.

     905,581  
85,692  

Home Depot, Inc.

     19,882,258  
5,966  

Hooker Furniture Corporation

     127,911  
76,013  

International Game Technology plc

     1,080,145  
1,075  

Johnson Outdoors, Inc.

     62,952  
82,572  

Knoll, Inc.

     2,093,200  
28,660  

Lowe’s Companies, Inc.

     3,151,454  
3,706  

Lululemon Athletica, Inc.h

     713,516  
18,198  

Marcus Corporation

     673,508  
4,109  

McDonald’s Corporation

     882,243  
28,880  

Michaels Companies, Inc.h

     282,735  
27,739  

Modine Manufacturing Companyh

     315,392  
3,995  

Mohawk Industries, Inc.h

     495,660  
22,122  

Moneysupermarket.com Group plc

     102,878  
47,363  

Movado Group, Inc.

     1,177,444  
42,180  

Netflix, Inc.h

     11,288,212  
7,400  

NHK Spring Company, Ltd.

     56,768  
223,175  

NIKE, Inc.

     20,960,596  
58,200  

Nissan Motor Company, Ltd.

     363,363  
55,858  

Norwegian Cruise Line Holdings, Ltd.h

     2,891,769  
131  

NVR, Inc.h

     486,973  
64,226  

Ollie’s Bargain Outlet Holdings, Inc.h

     3,766,213  
2,100  

Onward Holdings Company, Ltd.

     10,941  
4,384  

O’Reilly Automotive, Inc.h

     1,747,068  
32,361  

Oxford Industries, Inc.

     2,320,284  
32,033  

Park Hotels & Resorts, Inc.

     799,864  
4,200  

Park24 Company, Ltd.

     97,570  
104,869  

Planet Fitness, Inc.h

     6,068,769  
291,940  

Playa Hotels and Resorts NVh

     2,285,890  
900  

Plenus Company, Ltd.g

     15,120  
315,473  

Red Rock Resorts, Inc.

     6,405,679  
11,370  

Redrow plc

     86,349  
4,730  

RHg,h

     808,026  
800  

Rinnai Corporation

     53,906  
20,702  

Ruth’s Hospitality Group, Inc.

     422,631  
2,300  

Sangetsu Company, Ltd.

     43,448  
13,500  

Sekisui House, Ltd.

     266,384  
500  

SHIMAMURA Company, Ltd.

     39,724  
9,890  

Sony Corporation ADR

     584,796  
23,100  

Standard Motor Products, Inc.

     1,121,505  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

173


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (31.1%)        Value  
Consumer Discretionary (4.1%) - continued

 

107,445

  

Starbucks Corporation

     $9,500,287  

2,487

  

Steven Madden, Ltd.

     89,010  

3,110

  

Strategic Education, Inc.

     422,587  

500

  

Sumitomo Forestry Company, Ltd.

     6,676  

19,600

  

Sumitomo Rubber Industries, Ltd.

     233,396  

3,823

  

Super Retail Group, Ltd.

     25,600  

700

  

Takara Standard Company, Ltd.

     11,588  

43,652

  

Taylor Wimpey plc

     86,646  

48,272

  

Texas Roadhouse, Inc.

     2,535,245  

67,745

  

Toll Brothers, Inc.

     2,780,932  

9,400

  

Toyoda Gosei Company, Ltd.

     189,235  

14,153

  

Tupperware Brands Corporation

     224,608  

14,035

  

Ulta Beauty, Inc.h

     3,517,873  

900

  

United Arrows, Ltd.

     26,350  

21,433

  

Vail Resorts, Inc.

     4,877,294  

1,531

  

WH Smith plc

     37,410  

34,431

  

Wingstop, Inc.

     3,005,138  

6,600

  

Yahoo Japan Corporation

     18,595  

49,712

  

Zumiez, Inc.h

     1,574,628  
  

 

 
  

Total

     261,883,579  
  

 

 

 

Consumer Staples (1.2%)

 

1,400

  

Arcs Company, Ltd.

     29,437  

23,168

  

Calavo Growers, Inc.g

     2,205,130  

1,683

  

Carlsberg AS

     248,711  

57,192

  

Casey’s General Stores, Inc.

     9,217,063  

26,726

  

Central Garden & Pet Companyh

     781,201  

4,721

  

Central Garden & Pet Company, Class Ah

     130,890  

62,436

  

Coca-Cola Company

     3,399,016  

64,756

  

Colgate-Palmolive Company

     4,760,214  

4,022

  

Costco Wholesale Corporation

     1,158,778  

264,703

  

Cott Corporation

     3,300,846  

1,810

  

ForFarmers BV

     11,402  

823

  

Glanbia plc

     10,226  

1,401

  

Grocery Outlet Holding Corporationh

     48,587  

150,666

  

Hain Celestial Group, Inc.h

     3,235,552  

510

  

Inter Parfums, Inc.

     35,685  

29,400

  

Japan Tobacco, Inc.

     644,143  

28,759

  

John B. Sanfilippo & Son, Inc.

     2,778,119  

6,504

  

Kimberly-Clark Corporation

     923,893  

240

  

L’Oreal SA

     67,121  

400

  

Ministop Company, Ltd.

     5,154  

177,091

  

Monster Beverage Corporationh

     10,281,904  

38,064

  

PepsiCo, Inc.

     5,218,574  

118,631

  

Philip Morris International, Inc.

     9,007,652  

41,691

  

Procter & Gamble Company

     5,185,527  

6,928

  

Seneca Foods Corporationh

     216,015  

3,700

  

Sugi Holdings Company, Ltd.

     200,800  

7,800

  

Sundrug Company, Ltd.

     246,116  

328,437

  

SunOpta, Inc.h

     591,187  

10,077

  

TreeHouse Foods, Inc.h

     558,770  

600

  

TSURUHA Holdings, Inc.

     65,522  

199,631

  

Turning Point Brands, Inc.

     4,603,491  

6,468

  

Unilever NV

     388,388  

10,579

  

Unilever plc

     635,815  

35,955

  

Wal-Mart Stores, Inc.

     4,267,139  
  

 

 
  

Total

     74,458,068  
  

 

 

 

Energy (0.5%)

 

64,948

  

Abraxas Petroleum Corporationh

     32,961  

246,822

  

Archrock, Inc.

     2,460,815  

38,897

  

BP plc ADRg

     1,477,697  

30,582

  

Chevron Corporation

     3,627,025  

13,743

  

Concho Resources, Inc.

     933,150  

4,778

  

Contura Energy, Inc.h

     133,593  
Shares    Common Stock (31.1%)        Value  
Energy (0.5%) - continued

 

22,517

  

Diamondback Energy, Inc.

     $2,024,504  

13,389

  

Dril-Quip, Inc.h

     671,860  

1,680

  

Enterprise Products Partners, LP

     48,014  

25,326

  

EQT Corporation

     269,469  

22,168

  

Era Group, Inc.h

     234,094  

409,864

  

Euronav NV

     3,770,749  

5,593

  

Evolution Petroleum Corporation

     32,663  

37,051

  

Exterran Corporationh

     483,886  

2,161

  

Exxon Mobil Corporation

     152,588  

54,606

  

Frank’s International NVh

     259,379  

290

  

Gaztransport Et Technigaz SA

     28,692  

92,031

  

Gran Tierra Energy, Inc.h

     115,039  

31,717

  

Gulfport Energy Corporationh

     85,953  

33,135

  

Halliburton Company

     624,595  

45,140

  

Liberty Oilfield Services, Inc.g

     488,866  

101,209

  

Marathon Oil Corporation

     1,241,834  

28,270

  

Marathon Petroleum Corporation

     1,717,403  

1,167

  

Matrix Service Companyh

     20,002  

256,110

  

Nabors Industries, Ltd.

     478,926  

222,990

  

Nine Energy Service, Inc.h

     1,375,848  

118,597

  

Oceaneering International, Inc.h

     1,606,989  

36,939

  

Oil States International, Inc.h

     491,289  

18,481

  

Pacific Drilling SAh

     72,261  

47,148

  

Patterson-UTI Energy, Inc.

     403,115  

9,058

  

Pioneer Natural Resources Company

     1,139,225  

1,211

  

REX American Resources Corporationh

     92,436  

12,840

  

Royal Dutch Shell plc, Class A

     376,569  

17,708

  

Royal Dutch Shell plc, Class B

     523,365  

9,874

  

SEACOR Holdings, Inc.h

     464,769  

9,387

  

Select Energy Services, Inc.h

     81,291  

136,218

  

Talos Energy, Inc.h

     2,769,312  

57,438

  

TechnipFMC plc

     1,386,553  

5,315

  

U.S. Silica Holdings, Inc.

     50,811  

15,038

  

Unit Corporationh

     50,829  

38,766

  

WPX Energy, Inc.h

     410,532  
  

 

 
  

Total

     32,708,951  
  

 

 

 

Financials (4.3%)

 

1,110

  

1st Source Corporation

     50,760  

2,187

  

AB Industrivarden

     47,843  

26,441

  

Aflac, Inc.

     1,383,393  

34,006

  

AG Mortgage Investment Trust, Inc.

     515,191  

4,498

  

Alleghany Corporationh

     3,588,324  

2,238

  

Allianz SE

     520,945  

26,880

  

Ally Financial, Inc.

     891,341  

6,808

  

American Express Company

     805,250  

101,682

  

American Financial Group, Inc.

     10,966,404  

15,865

  

American International Group, Inc.

     883,680  

22,489

  

Ameriprise Financial, Inc.

     3,308,132  

56,709

  

Ameris Bancorp

     2,281,970  

25,923

  

Argo Group International Holdings, Ltd.

     1,820,832  

30,929

  

Arthur J. Gallagher & Company

     2,770,311  

7,502

  

Artisan Partners Asset Management, Inc.

     211,856  

120,219

  

Assured Guaranty, Ltd.

     5,344,937  

720

  

Baloise Holding AG

     129,006  

24,509

  

Bank Leumi Le-Israel BM

     174,500  

312,452

  

Bank of America Corporation

     9,114,225  

4,899

  

Bank of Marin Bancorp

     203,259  

5,777

  

Bank of Montreal

     425,497  

24,740

  

BankFinancial Corporation

     294,406  

8,587

  

Banner Corporation

     482,332  

12,628

  

Berkshire Hathaway, Inc.h

     2,626,877  

5,387

  

BlackRock, Inc.

     2,400,663  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

174


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (31.1%)        Value  
Financials (4.3%) - continued

 

21,502

  

BOK Financial Corporation

     $1,701,883  

121,225

  

Boston Private Financial Holdings, Inc.

     1,412,877  

72,421

  

Bridgewater Bancshares, Inc.h

     864,707  

306,393

  

BrightSphere Investment Group

     3,036,355  

22,898

  

Brown & Brown, Inc.

     825,702  

10,360

  

Byline Bancorp, Inc.h

     185,237  

22,117

  

Capital One Financial Corporation

     2,012,205  

25,591

  

Cboe Global Markets, Inc.

     2,940,662  

5,273

  

Central Pacific Financial Corporation

     149,753  

192,750

  

Charles Schwab Corporation

     8,062,732  

8,336

  

Chubb, Ltd.

     1,345,764  

24,747

  

CI Financial Corporation

     361,067  

12,026

  

Cincinnati Financial Corporation

     1,403,073  

58,154

  

Citigroup, Inc.

     4,017,278  

32,538

  

Citizens Financial Group, Inc.

     1,150,869  

9,033

  

CNP Assurances

     174,560  

42,581

  

Cohen & Steers, Inc.

     2,338,974  

33,448

  

Colony Capital, Inc.

     201,357  

46,297

  

Comerica, Inc.

     3,055,139  

38,552

  

Community Trust Bancorp, Inc.

     1,641,544  

22,500

  

DBS Group Holdings, Ltd.

     407,050  

421

  

Deutsche Boerse AG

     65,659  

8,170

  

Deutsche Pfandbriefbank AGi

     99,608  

396

  

Diamond Hill Investment Group, Inc.

     54,699  

15,226

  

Direct Line Insurance Group plc

     56,176  

33,572

  

Discover Financial Services

     2,722,353  

10,648

  

DnB ASA

     187,703  

54,841

  

Dynex Capital, Inc.

     810,550  

110,275

  

E*TRADE Financial Corporation

     4,817,915  

17,326

  

East West Bancorp, Inc.

     767,369  

13,243

  

Ellington Residential Mortgage REIT

     139,581  

18,121

  

Enterprise Financial Services Corporation

     738,431  

52,743

  

Essent Group, Ltd.

     2,514,259  

4,371

  

Euronext NVi

     357,903  

8,373

  

FBL Financial Group, Inc.

     498,277  

2,397

  

Federal Agricultural Mortgage Corporation

     195,739  

100,133

  

Fifth Third Bancorp

     2,741,642  

24,329

  

Financial Institutions, Inc.

     734,249  

37,222

  

First American Financial Corporation

     2,196,470  

1,330

  

First Bancorp

     47,747  

42,263

  

First Busey Corporation

     1,068,409  

12,712

  

First Citizens BancShares, Inc.

     5,994,344  

55,666

  

First Defiance Financial Corporation

     1,612,366  

18,765

  

First Financial Corporation

     815,715  

40,335

  

First Hawaiian, Inc.

     1,076,944  

64,853

  

First Interstate BancSystem, Inc.

     2,609,685  

1,557

  

First Mid-Illinois Bancshares, Inc.

     53,903  

22,298

  

First Midwest Bancorp, Inc.

     434,365  

3,956

  

First of Long Island Corporation

     89,999  

18,203

  

First Republic Bank

     1,760,230  

36,558

  

FlexiGroup, Ltd.

     63,037  

2,574

  

Goldman Sachs Group, Inc.

     533,410  

37,474

  

Great Southern Bancorp, Inc.

     2,134,144  

73,818

  

Hamilton Lane, Inc.

     4,204,673  

5,954

  

Hancock Whitney Corporation

     228,008  

24,016

  

Hanover Insurance Group, Inc.

     3,255,129  

97,625

  

Hartford Financial Services Group, Inc.

     5,917,051  

47,262

  

Heartland Financial USA, Inc.

     2,114,502  

237,985

  

Heritage Commerce Corporation

     2,797,514  

31,735

  

Hometrust Bancshares, Inc.

     827,331  

44,090

  

Horace Mann Educators Corporation

     2,042,690  

39,525

  

Horizon Bancorp, Inc.

     686,154  
Shares    Common Stock (31.1%)        Value  
Financials (4.3%) - continued

 

23,347

  

Houlihan Lokey, Inc.

     $1,052,950  

49,484

  

HSBC Holdings plc

     379,157  

76,482

  

IBERIABANK Corporation

     5,777,450  

38,062

  

Independent Bank Corporation

     811,292  

48,033

  

Interactive Brokers Group, Inc.

     2,583,215  

186,457

  

Intercontinental Exchange, Inc.

     17,204,387  

10,360

  

International Bancshares Corporation

     400,103  

57,508

  

Israel Discount Bank, Ltd.

     252,759  

33,366

  

J.P. Morgan Chase & Company

     3,926,845  

19,105

  

Kemper Corporation

     1,489,235  

51,355

  

KeyCorp

     916,173  

5,053

  

KKR Real Estate Finance Trust, Inc.

     98,685  

18,811

  

Lakeland Bancorp, Inc.

     290,254  

4,110

  

Laurentian Bank of Canada

     139,694  

34,254

  

Loews Corporation

     1,763,396  

12,005

  

M&T Bank Corporation

     1,896,430  

19,639

  

Manulife Financial Corporation

     360,213  

811

  

Markel Corporationh

     958,521  

32,415

  

Medibank Private, Ltd.

     74,442  

6,685

  

Mercantile Bank Corporation

     219,268  

53,155

  

Meridian Bancorp, Inc.

     996,656  

23,177

  

MetLife, Inc.

     1,093,027  

48,271

  

MidWestOne Financial Group, Inc.

     1,473,231  

2,602

  

Moody’s Corporation

     532,968  

19,383

  

Morgan Stanley

     827,073  

11,639

  

MSCI, Inc.

     2,534,392  

3,708

  

National Bank of Canada

     184,497  

577

  

National Western Life Group, Inc.

     154,849  

15,881

  

Newmark Group, Inc.

     143,882  

38,702

  

Northern Trust Corporation

     3,611,671  

21,799

  

Old Second Bancorp, Inc.

     266,384  

8,014

  

Opus Bank

     174,465  

27,709

  

PacWest Bancorp

     1,006,945  

1,135

  

Paragon Banking Group plc

     6,730  

1,100

  

Pargesa Holding SA

     84,610  

125,764

  

PCSB Financial Corporation

     2,514,022  

1,734

  

Peapack-Gladstone Financial Corporation

     48,604  

7,460

  

Peoples Bancorp, Inc.

     237,303  

22,834

  

Popular, Inc.

     1,234,863  

17,743

  

Primerica, Inc.

     2,257,442  

143,089

  

Prosight Global, Inc.h

     2,770,203  

7,579

  

Prudential Financial, Inc.

     681,731  

27,470

  

QCR Holdings, Inc.

     1,043,311  

24,694

  

Radian Group, Inc.

     564,011  

60,739

  

Raymond James Financial, Inc.

     5,008,538  

22,692

  

Reinsurance Group of America, Inc.

     3,627,997  

2,054

  

Royal Bank of Canada

     166,618  

37,120

  

S&P Global, Inc.

     9,093,658  

1,477

  

S&T Bancorp, Inc.

     53,955  

30,983

  

Sandy Spring Bancorp, Inc.

     1,044,437  

173,848

  

Santander Consumer USA Holdings, Inc.

     4,434,862  

157,833

  

Seacoast Banking Corporation of Floridah

     3,994,753  

39,175

  

SEI Investments Company

     2,321,315  

2,500

  

Senshu Ikeda Holdings, Inc.

     4,341  

5,906

  

Skandinaviska Enskilda Banken AB

     54,268  

576,860

  

SLM Corporation

     5,090,789  

41,500

  

State Auto Financial Corporation

     1,344,185  

7,258

  

State Street Corporation

     429,601  

12,108

  

Stifel Financial Corporation

     694,757  

2,537

  

Sun Life Financial, Inc.

     113,441  

20,704

  

SVB Financial Grouph

     4,326,101  

109,495

  

Synovus Financial Corporation

     3,915,541  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

175


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (31.1%)    Value  

Financials (4.3%) - continued

 

9,468

   Territorial Bancorp, Inc.      $270,595  

2,414

   Topdanmark AS      116,529  

10,039

   Toronto-Dominion Bank      585,359  

10,362

   TPG RE Finance Trust, Inc.      205,582  

20,976

   TriCo Bancshares      761,429  

108,333

   TrustCo Bank Corporation      882,914  

40,055

   U.S. Bancorp      2,216,644  

56,589

   United Community Banks, Inc.      1,604,298  

3,138

   Univest Financial Corporation      80,050  

743

   Virtus Investment Partners, Inc.      82,153  

5,907

   Walker & Dunlop, Inc.      330,378  

12,885

   Washington Trust Bancorp, Inc.      622,474  

4,160

   WesBanco, Inc.      155,459  

13,644

   Western Alliance Bancorp      628,716  

1,387

   Westwood Holdings Group, Inc.      38,378  

2,565

   Willis Towers Watson plc      494,968  

67,943

   Wintrust Financial Corporation      4,391,156  

118,009

   Zions Bancorporations NA      5,253,761  
  

 

 
   Total      278,073,994  
  

 

 

Health Care (4.2%)

 

146,658

   Abbott Laboratories      12,270,875  

4,536

   ABIOMED, Inc.h      806,909  

43,625

   Aerie Pharmaceuticals, Inc.g,h      838,472  

60,063

   Agilent Technologies, Inc.      4,602,628  

58,947

   Agios Pharmaceuticals, Inc.g,h      1,909,883  

10,026

   Alexion Pharmaceuticals, Inc.h      981,946  

14,502

   AmerisourceBergen Corporation      1,193,950  

24,415

   Amgen, Inc.      4,724,547  

1,124

   Amplifon SPA      27,576  

3,206

   AngioDynamics, Inc.h      59,054  

16,157

   Arena Pharmaceuticals, Inc.h      739,506  

542

   Atrion Corporation      422,310  

53,462

   Axonics Modulation Technologies, Inc.h      1,439,197  

19,768

   Bausch Health Companies, Inc.h      431,931  

3,473

   Becton, Dickinson and Company      878,530  

1,704

   Biogen, Inc.h      396,725  

24,664

   BioMarin Pharmaceutical, Inc.h      1,662,354  

3,640

   Bio-Rad Laboratories, Inc.h      1,211,174  

35,195

   Bio-Techne Corporation      6,886,606  

45,002

   Bruker Corporation      1,976,938  

138,301

   Catalent, Inc.h      6,591,426  

17,112

  

Charles River Laboratories International, Inc.h

     2,265,115  

2,031

   Chemed Corporation      848,085  

3,399

   Cigna Holding Company      515,934  

19,077

   Concert Pharmaceuticals, Inc.h      112,173  

46,692

   CryoLife, Inc.h      1,267,688  

36,273

   CVS Health Corporation      2,287,738  

28,770

   Danaher Corporation      4,155,251  

15,965

   Dexcom, Inc.h      2,382,617  

52,776

   Edwards Lifesciences Corporationh      11,605,970  

3,954

   Enanta Pharmaceuticals, Inc.h      237,556  

116,058

   GenMark Diagnostics, Inc.h      703,311  

76,818

   Gilead Sciences, Inc.      4,868,725  

3,587

   GlaxoSmithKline plc      76,885  

173,910

   Halozyme Therapeutics, Inc.h      2,697,344  

11,485

   HealthStream, Inc.h      297,347  

25,952

   Hill-Rom Holdings, Inc.      2,730,929  

3,768

   Humana, Inc.      963,365  

546

   IDEXX Laboratories, Inc.h      148,474  

28,702

   Illumina, Inc.h      8,731,722  

33,964

   Immunomedics, Inc.h      450,363  

62,891

   Inspire Medical Systems, Inc.h      3,837,609  

7,140

   Insulet Corporationh      1,177,600  
Shares    Common Stock (31.1%)    Value  

Health Care (4.2%) - continued

 

25,243

   Intuitive Surgical, Inc.h    $ 13,629,453  

17,919

   Jazz Pharmaceuticals, Inc.h      2,296,141  

68,178

   Johnson & Johnson      8,820,870  

600

   KYORIN Holdings, Inc.      9,960  

3,566

   Laboratory Corporation of America Holdingsh      599,088  

64,088

   LHC Group, Inc.h      7,277,833  

16,882

   Ligand Pharmaceuticals, Inc.h      1,680,434  

193

   LNA Sante      9,864  

1,313

   Magellan Health Services, Inc.h      81,537  

428

   Masimo Corporationh      63,682  

8,277

   McKesson Corporation      1,131,135  

69,583

   Medtronic plc      7,558,105  

53,702

   Merck & Company, Inc.      4,520,634  

2,700

   Mitsubishi Tanabe Pharma Corporation      29,755  

108,279

   Natera, Inc.h      3,551,551  

17,696

   National Healthcare Corporation      1,448,418  

33,709

   Neurocrine Biosciences, Inc.h      3,037,518  

12,608

   Nevro Corporationh      1,083,910  

44,731

   NextGen Healthcare, Inc.h      700,935  

9,254

   Novartis AG      803,127  

14,229

   Novo Nordisk AS      735,300  

12,858

   Novocure, Ltd.h      961,521  

22,175

   NuVasive, Inc.h      1,405,451  

246,107

   Optinose, Inc.g,h      1,722,749  

5,840

   Orthifix Medical, Inc.h      309,637  

12,097

   PerkinElmer, Inc.      1,030,301  

35,890

   Pfizer, Inc.      1,289,528  

1,279

   Phibro Animal Health Corporation      27,281  

1,753

   Providence Service Corporationh      104,233  

5,136

   Recordati SPA      220,278  

26,111

   Repligen Corporationh      2,002,453  

17,782

   ResMed, Inc.      2,402,526  

2,460

   Roche Holding AG      716,265  

14,993

   Sage Therapeutics, Inc.h      2,103,368  

8,350

   Sarepta Therapeutics, Inc.h      628,922  

67,019

   Syneos Health, Inc.h      3,566,081  

70,054

   Tactile Systems Technology, Inc.h      2,964,685  

22,145

   Teleflex, Inc.      7,523,764  

45,354

   Thermo Fisher Scientific, Inc.      13,210,260  

2,601

   U.S. Physical Therapy, Inc.      339,560  

85,324

   UnitedHealth Group, Inc.      18,542,612  

4,621

   Universal Health Services, Inc.      687,374  

11,117

   Varian Medical Systems, Inc.h      1,323,923  

62,442

   Veeva Systems, Inc.h      9,534,269  

59,411

   Vertex Pharmaceuticals, Inc.h      10,065,412  

4,092

   Waters Corporationh      913,457  

4,687

   West Pharmaceutical Services, Inc.      664,710  

428,402

   Wright Medical Group NVh      8,837,933  

152,654

   Zoetis, Inc.      19,019,162  
  

 

 
   Total      273,601,303  
  

 

 

Industrials (4.5%)

 

27,186

   A.O. Smith Corporation      1,297,044  

691

   Aalberts NV      27,364  

69,913

   Acco Brands Corporation      690,041  

1,976

  

ACS Actividades de Construccion y Servicios, SA

     78,953  

852

   Actuant Corporation      18,693  

18,585

   Aegion Corporationh      397,347  

57,108

   Aerojet Rocketdyne Holdings, Inc.h      2,884,525  

58,749

   AGCO Corporation      4,447,299  

89,627

   Altra Industrial Motion Corporation      2,482,220  

66,254

   AMETEK, Inc.      6,083,442  

72,007

   Arcosa, Inc.      2,463,360  

 

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

176


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (31.1%)    Value  

Industrials (4.5%) - continued

 

99,278

   ASGN, Inc.h      $6,240,615  

11,749

   Atlas Copco AB, Class A      361,789  

6,304

   Atlas Copco AB, Class B      170,706  

91,740

   AZZ, Inc.      3,996,194  

2,678

   Boeing Company      1,018,899  

49,843

   BWX Technologies, Inc.      2,851,518  

8,113

   Cactus, Inc.h      234,790  

10,014

   Carlisle Companies, Inc.      1,457,438  

82,920

   Casella Waste Systems, Inc.h      3,560,585  

171,557

   CBIZ, Inc.h      4,031,590  

433

   Chase Corporation      47,366  

1,334

   CIA De Distribucion Integral      25,993  

6,010

   Columbus McKinnon Corporation      218,944  

92,529

   Costamare, Inc.      561,651  

14,738

   CRA International, Inc.      618,554  

58,145

   Crane Company      4,688,231  

39,277

   CSW Industrials, Inc.      2,711,291  

11,247

   CSX Corporation      779,080  

70,697

   Curtiss-Wright Corporation      9,146,071  

31,720

   Delta Air Lines, Inc.      1,827,072  

29,714

   Douglas Dynamics, Inc.      1,324,353  

90,898

   EMCOR Group, Inc.      7,828,136  

38,795

   Emerson Electric Company      2,593,834  

59,923

   Encore Wire Corporation      3,372,467  

2,411

   Ennis, Inc.      48,726  

9,359

   ESCO Technologies, Inc.      744,602  

26,087

   Expeditors International of Washington, Inc.      1,938,003  

6,345

   Federal Signal Corporation      207,735  

41,076

   Forrester Research, Inc.      1,320,183  

16

   Geberit AG      7,646  

24,150

   General Dynamics Corporation      4,412,930  

17,230

   Gorman-Rupp Company      599,432  

40,709

   Granite Construction, Inc.      1,307,980  

1,000

   GS Yuasa Corporation      17,368  

16,816

   GWA Group, Ltd.g      38,495  

300

   Hanwa Company, Ltd.      8,237  

67,556

   Healthcare Services Group, Inc.g      1,640,935  

13,939

   Heico Corporation      1,740,702  

1,910

   Heidrick & Struggles International, Inc.      52,143  

2,948

   Herc Holdings, Inc.h      137,112  

3,200

   Hino Motors, Ltd.      26,519  

15,420

   HNI Corporation      547,410  

127,553

   Honeywell International, Inc.      21,581,968  

28,207

   Hubbell, Inc.      3,706,400  

5,363

   Huntington Ingalls Industries, Inc.      1,135,830  

7,209

   Huron Consulting Group, Inc.h      442,200  

4,391

   Hyster-Yale Materials Handling, Inc.      240,319  

43,086

   ICF International, Inc.      3,639,474  

40,526

   IDEX Corporation      6,641,401  

2,100

   Inaba Denki Sangyo Company, Ltd.      92,214  

33,324

   Ingersoll-Rand plc      4,105,850  

150,256

   Interface, Inc.      2,169,697  

22,368

   Johnson Controls International plc      981,732  

15,208

   Kelly Services, Inc.      368,338  

36,277

   Kforce, Inc.      1,372,540  

4,834

   Koninklijke Philips NV      223,375  

45,425

   Kratos Defense & Security Solutions, Inc.h      844,678  

4,787

   Legrand SA      341,649  

40,044

   Lincoln Electric Holdings, Inc.      3,474,217  

31,187

   Lockheed Martin Corporation      12,164,801  

19,900

   Marubeni Corporation      132,713  

59,886

   Masonite International Corporationh      3,473,388  

2,198

   Matthews International Corporation      77,787  
Shares    Common Stock (31.1%)    Value  

Industrials (4.5%) - continued

 

38,279

   Mercury Systems, Inc.h      $3,107,106  

8,600

   Mitsubishi Corporation      211,757  

1,600

   Mitsuboshi Belting, Ltd.      26,342  

18,600

   Mitsui & Company, Ltd.      305,531  

5,520

   Mobile Mini, Inc.      203,467  

176,367

   MRC Global, Inc.h      2,139,332  

42,713

   Mueller Industries, Inc.      1,225,009  

6,532

   National Express Group plc      34,776  

5,000

   Nitto Kogyo Corporation      95,068  

2,777

   Nobina ABi      17,355  

56,005

   Norfolk Southern Corporation      10,061,858  

1,983

   Northgate plc      8,046  

18,974

   Old Dominion Freight Line, Inc.      3,225,011  

9,628

   PageGroup plc      51,901  

15,592

   Parker Hannifin Corporation      2,816,071  

186,349

   Primoris Services Corporation      3,654,304  

47,114

   Raven Industries, Inc.      1,576,434  

28,199

   Regal-Beloit Corporation      2,054,297  

17,008

   RELX plc      403,933  

18,927

   Resources Connection, Inc.      321,570  

211,546

   Ritchie Brothers Auctioneers, Inc.      8,440,685  

6,474

   Rockwell Automation, Inc.      1,066,915  

16,569

   Roper Industries, Inc.      5,908,505  

3,770

   Rush Enterprises, Inc.      145,447  

40,930

   Saia, Inc.h      3,835,141  

3,214

   Sandvik AB      50,035  

3,591

   Schneider Electric SE      314,006  

8,531

   Signify NVi      234,455  

25,691

   SiteOne Landscape Supply, Inc.g,h      1,901,648  

11,735

   SKF AB      193,782  

29,700

   Sojitz Corporation      92,393  

88,624

   Southwest Airlines Company      4,786,582  

36,326

   SP Plus Corporationh      1,344,062  

861

   Spirax-Sarco Engineering plc      82,952  

40,284

   SPX FLOW, Inc.h      1,589,607  

55,125

   Standex International Corporation      4,020,818  

16,300

   Sumitomo Corporation      255,184  

26,600

   Sumitomo Electric Industries, Ltd.      339,454  

800

   Taikisha, Ltd.      24,222  

29,958

   Teledyne Technologies, Inc.h      9,646,176  

5,991

   Tennant Company      423,564  

9,282

   Thermon Group Holdings, Inc.h      213,300  

2,200

   Toppan Forms Company, Ltd.      20,897  

1,510

   Transcontinental, Inc.      17,643  

3,970

   TransDigm Group, Inc.      2,067,060  

85,714

   TriMas Corporationh      2,627,134  

6,701

   TrueBlue, Inc.h      141,391  

1,700

   Tsubakimoto Chain Company      54,719  

11,129

   UniFirst Corporation      2,171,491  

8,726

   United Airlines Holdings, Inc.h      771,466  

19,880

   United Rentals, Inc.h      2,477,843  

47,909

   United Technologies Corporation      6,540,537  

61,508

   Valmont Industries, Inc.      8,515,168  

2,435

   Vectrus, Inc.h      98,983  

59,438

   Verisk Analytics, Inc.      9,399,525  

10,555

   Viad Corporation      708,768  

42,725

   Waste Connections, Inc.      3,930,700  

18,112

   Watsco, Inc.      3,064,188  

115,370

   Willdan Group, Inc.h      4,047,180  

1,250

   Woodward, Inc.      134,788  

32,244

   Xylem, Inc.      2,567,267  

1,000

   Yuasa Trading Company, Ltd.      28,626  
  

 

 
   Total      288,377,659  
  

 

 

Information Technology (8.3%)

 

18,913

   Accenture plc      3,637,916  

 

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

177


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (31.1%)    Value  

Information Technology (8.3%) - continued

  

37,505

   ADTRAN, Inc.      $425,494  

22,005

   Advanced Energy Industries, Inc.h      1,263,307  

140,309

   Advanced Micro Devices, Inc.h      4,067,558  

44,917

   Akamai Technologies, Inc.h      4,104,515  

5,427

   Alliance Data Systems Corporation      695,361  

17,637

   Alteryx, Inc.h      1,894,743  

1,697

   Altisource Portfolio Solutions SAg,h      34,313  

4,224

   Amadeus IT Holding SA      302,657  

8,093

   American Software, Inc.      121,557  

95,266

   Amphenol Corporation      9,193,169  

6,952

   ANSYS, Inc.h      1,538,895  

196,876

   Apple, Inc.      44,094,318  

26,346

   Arista Networks, Inc.h      6,294,586  

9,955

   Atkore International Group, Inc.h      302,134  

16,468

   Atlassian Corporation plch      2,065,746  

24,533

   Automatic Data Processing, Inc.      3,960,117  

40,352

   Avalara, Inc.h      2,715,286  

2,650

   Badger Meter, Inc.      142,305  

69,190

   Benchmark Electronics, Inc.      2,010,661  

86,248

   Blackline, Inc.h      4,123,517  

18,553

   Booz Allen Hamilton Holding Corporation      1,317,634  

2,268

   Broadridge Financial Solutions, Inc.      282,207  

2,623

   CACI International, Inc.h      606,595  

11,900

   Canon, Inc.      318,232  

3,548

   Capgemini SA      417,783  

66,941

   CDK Global, Inc.      3,219,193  

15,533

   CDW Corporation      1,914,287  

4,337

   CEVA, Inc.h      129,503  

8,214

   CGI, Inc.h      649,506  

148,875

   Ciena Corporationh      5,840,366  

378,023

   Cisco Systems, Inc.      18,678,116  

71,282

   Clearwater Energy, Inc.      1,236,030  

27,451

   Cognex Corporation      1,348,668  

41,668

   Cohu, Inc.      562,726  

31,318

   Computer Services, Inc.      1,424,969  

12,417

   Computershare, Ltd.      135,741  

12,533

   CoreLogic, Inc.h      579,902  

53,409

   Coupa Software, Inc.h      6,920,204  

30,883

   CTS Corporation      999,374  

54,355

   Descartes Systems Group, Inc.h      2,191,050  

84,215

   DocuSign, Inc.h      5,214,593  

246,718

   Dolby Laboratories, Inc.      15,947,852  

14,911

   DSP Group, Inc.h      210,021  

22,076

   Ebix, Inc.g      929,400  

40,296

   Elastic NVh      3,317,973  

10,832

   EPAM Systems, Inc.h      1,974,890  

13,829

   ePlus, Inc.h      1,052,249  

19,067

   Euronet Worldwide, Inc.h      2,789,502  

18,664

   ExlService Holdings, Inc.h      1,249,741  

5,152

   eXp World Holdings, Inc.g,h      43,174  

10,198

   Fair Isaac Corporationh      3,095,297  

52,603

   Fiserv, Inc.h      5,449,145  

65,185

   Five9, Inc.h      3,503,042  

27,912

   Global Payments, Inc.      4,438,008  

70,925

   Guidewire Software, Inc.h      7,474,076  

15,303

   Halma plc      370,414  

6,833

   InterDigital, Inc.      358,528  

1,933

   International Business Machines Corporation      281,097  

6,884

   International Money Express, Inc.h      94,586  

40,620

   Intuit, Inc.      10,802,483  

24,208

   Keysight Technologies, Inc.h      2,354,228  

10,319

   KLA-Tencor Corporation      1,645,365  

25,335

   Kulicke and Soffa Industries, Inc.      594,866  

16,331

   Lam Research Corporation      3,774,257  
Shares    Common Stock (31.1%)    Value  

Information Technology (8.3%) - continued

  

154,519

   Lattice Semiconductor Corporationh      $2,825,380  

9,024

   ManTech International Corporation      644,404  

107,390

   MasterCard, Inc.      29,163,902  

34,248

   Methode Electronics, Inc.      1,152,103  

474,739

   Microsoft Corporation      66,002,963  

24,797

   MicroStrategy, Inc.h      3,679,131  

19,623

   MKS Instruments, Inc.      1,810,810  

82,580

   Monolithic Power Systems, Inc.      12,851,925  

16,242

   MTS Systems Corporation      897,370  

74,249

   National Instruments Corporation      3,117,716  

2,800

  

NEC Networks & System Integration Corporation

     76,254  

34,523

   New Relic, Inc.h      2,121,438  

48,095

   NIC, Inc.      993,162  

25,763

   Nice, Ltd. ADRh      3,704,719  

48,284

   Nova Measuring Instruments, Ltd.h      1,533,983  

24,982

   Novanta, Inc.h      2,041,529  

54,579

   NVIDIA Corporation      9,500,567  

70,041

   Oracle Corporation      3,854,356  

16,919

   Palo Alto Networks, Inc.h      3,448,600  

175,465

   PayPal Holdings, Inc.h      18,176,419  

9,674

   Plantronics, Inc.      361,034  

60,511

   Plexus Corporationh      3,782,543  

15,271

   Progress Software Corporation      581,214  

50,278

   Proofpoint, Inc.h      6,488,376  

39,325

   Q2 Holdings, Inc.h      3,101,563  

23,407

   QAD, Inc.      1,080,935  

11,671

   QUALCOMM, Inc.      890,264  

97,760

   Rambus, Inc.h      1,283,100  

58,737

   Rogers Corporationh      8,029,935  

1,100

   Ryoyo Electro Corporation      18,869  

234,090

   SailPoint Technologies Holdings, Inc.h      4,375,142  

94,208

   Salesforce.com, Inc.h      13,984,236  

960

   Samsung Electronics Company, Ltd. GDR      978,126  

19,152

   ScanSource, Inc.h      585,094  

23,910

   ServiceNow, Inc.h      6,069,553  

5,300

   Shinko Electric Industries Company, Ltd.      45,485  

10,157

   Silicon Laboratories, Inc.h      1,130,982  

86,315

   Square, Inc.h      5,347,214  

12,519

   Sykes Enterprises, Inc.h      383,582  

72,016

   Synopsys, Inc.h      9,884,196  

49,661

   TE Connectivity, Ltd.      4,627,412  

13,329

   Teradata Corporationh      413,199  

13,422

   Teradyne, Inc.      777,268  

114,257

   Texas Instruments, Inc.      14,766,575  

30,486

   Tyler Technologies, Inc.h      8,002,575  

16,383

   VeriSign, Inc.h      3,090,325  

116,270

   Virtusa Corporationh      4,188,045  

189,514

   Visa, Inc.      32,598,303  

18,506

   WEX, Inc.h      3,739,507  

23,991

   Workday, Inc.h      4,077,510  

24,530

   Xilinx, Inc.      2,352,427  
  

 

 
   Total      533,356,348  
  

 

 

Materials (0.9%)

  

26,458

   Alcoa Corporationh      531,012  

3,929

   Avery Dennison Corporation      446,217  

15,182

   Balchem Corporation      1,505,903  

10,578

   Ball Corporation      770,184  

11,515

   BHP Group, Ltd.      284,542  

36,014

   Boise Cascade Company      1,173,696  

17,257

   Celanese Corporation      2,110,359  

27,191

   CF Industries Holdings, Inc.      1,337,797  

6,953

   Continental Building Products, Inc.h      189,747  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

178


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (31.1%)    Value  

Materials (0.9%) - continued

  

26,724

   Eastman Chemical Company      $1,973,033  

54,101

   Ecolab, Inc.      10,714,162  

64,672

   Ferro Corporationh      767,010  

57,670

  

Ferroglobe Representation & Warranty Insurance Trustc,h

     6  

5,492

   Granges AB      56,046  

981

   Hexpol AB      7,530  

1,400

   Hokuetsu Corporation      7,035  

2,170

   Innophos Holdings, Inc.      70,438  

35,149

   Innospec, Inc.      3,133,182  

7,500

   JSR Corporation      120,756  

22,302

   Kadant, Inc.      1,957,893  

42,709

   Kaiser Aluminum Corporation      4,226,910  

2,282

   Koninklijke DSM NV      274,712  

17,832

   Kraton Performance Polymers, Inc.h      575,795  

5,000

   Kyoei Steel, Ltd.      94,210  

900

   Lintec Corporation      17,916  

227,059

   Louisiana-Pacific Corporation      5,581,110  

17,425

   Martin Marietta Materials, Inc.      4,776,192  

24,787

   Materion Corporation      1,520,930  

6,419

   Minerals Technologies, Inc.      340,785  

5,000

   Mitsubishi Gas Chemical Company, Inc.      67,250  

41,129

   Myers Industries, Inc.      725,927  

18,162

   Neenah, Inc.      1,182,709  

700

   Nippon Kayaku Company, Ltd.      8,394  

20,700

   Nippon Steel Corporation      290,055  

11,156

   Nucor Corporation      567,952  

70,776

   Nutanix, Inc.h      1,857,870  

6,008

   Olympic Steel, Inc.      86,515  

6,824

   PH Glatfelter Company      105,021  

21,411

   PPG Industries, Inc.      2,537,418  

21,010

   Reliance Steel & Aluminum Company      2,093,857  

28,553

   Ryerson Holding Corporationh      243,557  

12,045

   Sandfire Resources NL      53,392  

500

   Sanyo Special Steel Company, Ltd.      6,703  

46,309

   Schweitzer-Mauduit International, Inc.      1,733,809  

17,490

   Steel Dynamics, Inc.      521,202  

12,959

   SunCoke Energy, Inc.h      73,089  

800

   Taiyo Holdings Company, Ltd.      27,044  

3,700

   Toagosei Company, Ltd.      41,957  

22,151

   United States Lime & Minerals, Inc.      1,694,552  

3,774

   UPM-Kymmene Oyj      111,441  

14,172

   Verso Corporationh      175,449  

4,147

   W. R. Grace & Company      276,854  
  

 

 
   Total      59,047,125  
  

 

 

Real Estate (1.3%)

  

5,178

   Acadia Realty Trust      147,987  

29,748

   Agree Realty Corporation      2,176,066  

21,053

   Alexander & Baldwin, Inc.      516,009  

5,145

   Alexandria Real Estate Equities, Inc.      792,536  

1,777

   Allied Properties REIT      71,853  

1,770

   Alstria Office REIT AG      30,366  

960

   American Assets Trust, Inc.      44,870  

68,299

   American Campus Communities, Inc.      3,283,816  

44,540

   American Tower Corporation      9,849,130  

13,761

  

Apartment Investment & Management Company

     717,499  

80,300

   Apple Hospitality REIT, Inc.      1,331,374  

13,505

   Ares Commercial Real Estate Corporation      205,681  

18,186

   Armada Hoffler Properties, Inc.      328,985  

13,700

   Ascendas REIT      30,940  

47,704

   Ashford Hospitality Trust, Inc.      157,900  
Shares    Common Stock (31.1%)    Value  

Real Estate (1.3%) - continued

  

6,385

   BBX Capital Corporation      $29,818  

5,392

   Bluerock Residential Growth REIT, Inc.      63,464  

10,171

   Brandywine Realty Trust      154,091  

62,491

   Brixmor Property Group, Inc.      1,267,942  

18,049

   Camden Property Trust      2,003,619  

1,996

   CareTrust REIT, Inc.      46,916  

4,075

   Castellum AB      87,242  

82,218

   CBL & Associates Properties, Inc.      106,061  

81,579

   Cedar Realty Trust, Inc.      244,737  

19,403

   Chatham Lodging Trust      352,164  

2,071

   Choice Properties REIT      22,573  

13,919

   City Office REIT, Inc.      200,294  

48

   Cofinimmo SA      6,759  

1,919

   Columbia Property Trust, Inc.      40,587  

14,119

   CoreCivic, Inc.      243,976  

11,629

   Corepoint Lodging, Inc.      117,569  

29,560

   CoreSite Realty Corporation      3,601,886  

21,941

   Corporate Office Properties Trust      653,403  

8,411

   CoStar Group, Inc.h      4,989,405  

91,581

   Cousins Properties, Inc.      3,442,530  

10,221

   CubeSmart      356,713  

10,931

   CyrusOne, Inc.      864,642  

2,100

   Daito Trust Construction Company, Ltd.      268,965  

411

   Deutsche EuroShop AG      11,593  

8,948

   DiamondRock Hospitality Company      91,717  

4,142

   Digital Realty Trust, Inc.      537,673  

21,483

   Douglas Emmett, Inc.      920,117  

18,802

   Duke Realty Corporation      638,704  

2,682

   EastGroup Properties, Inc.      335,304  

23,728

   Empire State Realty Trust, Inc.      338,599  

547

   Entra ASAi      8,579  

9,187

   EPR Properties      706,113  

9,763

   Equity Commonwealth      334,383  

1,290

   Equity Lifestyle Properties, Inc.      172,344  

499

   Essex Property Trust, Inc.      162,998  

15,385

   Farmland Partners, Inc.      102,772  

793

   First Capital Realty, Inc.      13,210  

14,481

   First Industrial Realty Trust, Inc.      572,868  

2,175

   Four Corners Property Trust, Inc.      61,509  

42,963

   Franklin Street Properties Corporation      363,467  

24,999

   Gaming and Leisure Properties, Inc.      955,962  

26,600

   GEO Group, Inc.      461,244  

7,897

   Getty Realty Corporation      253,178  

16,036

   Gladstone Commercial Corporation      376,846  

2,000

   Global Net Lease, Inc.      39,000  

16

   GLP J-Reit      21,220  

3,068

   Granite REIT      148,554  

1,015

   H&R REIT      17,720  

16,172

   Healthcare Realty Trust, Inc.      541,762  

25,620

   Healthcare Trust of America, Inc.      752,716  

27,165

   Highwoods Properties, Inc.      1,220,795  

59,760

   Host Hotels & Resorts, Inc.      1,033,250  

1,109

   Howard Hughes Corporationh      143,726  

11,450

   Hudson Pacific Properties, Inc.      383,117  

29,000

   Hysan Development Company, Ltd.      116,946  

6,054

   Industrial Logistics Properties Trust      128,648  

3,837

   Investors Real Estate Trust      286,509  

22,078

   iSTAR Financial, Inc.      288,118  

11,821

   JBG SMITH Properties      463,501  

9,196

   Jones Lang LaSalle, Inc.      1,278,796  

18,019

   Kilroy Realty Corporation      1,403,500  

14,192

   Kite Realty Group Trust      229,201  

7,498

   Klepierre SA      254,637  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

179


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (31.1%)    Value  

Real Estate (1.3%) - continued

  

12,419

   Lamar Advertising Company    $ 1,017,489  

167

   LEG Immobilien AG      19,110  

12,402

   Lexington Realty Trust      127,121  

10,511

   Liberty Property Trust      539,530  

3,472

   Life Storage, Inc.      365,984  

1,179

   LTC Properties, Inc.      60,388  

5,112

   Mack-Cali Realty Corporation      110,726  

13,300

   Mapletree Commercial Trust      22,047  

9,100

   Mapletree Logistics Trust      10,668  

42,097

   Medical Properties Trust, Inc.      823,417  

2,646

   Merlin Properties Socimi SA      36,942  

4,382

   MGM Growth Properties LLC      131,679  

78,612

   Mirvac Group      162,402  

20,831

   Monmouth Real Estate Investment Corporation      300,175  

3,132

   National Health Investors, Inc.      258,045  

13,615

   National Storage Affiliates Trust      454,333  

10,048

   Office Properties Income Trust      307,871  

17,548

   Omega Healthcare Investors, Inc.      733,331  

10,770

   One Liberty Properties, Inc.      296,498  

25,067

   Outfront Media, Inc.      696,361  

17,140

   Paramount Group, Inc.      228,819  

20,085

   Pebblebrook Hotel Trust      558,765  

25,698

   Pennsylvania REIT      146,993  

96,657

   Physicians Realty Trust      1,715,662  

6,910

   Piedmont Office Realty Trust, Inc.      144,281  

19,358

   PotlatchDeltic Corporation      795,323  

10,164

   Preferred Apartment Communities, Inc.      146,870  

1,340

   PS Business Parks, Inc.      243,813  

1,222

   PSP Swiss Property AG      155,148  

9,489

   QTS Realty Trust, Inc.      487,829  

2,753

   Quebecor, Inc.      62,505  

16,920

   Rayonier, Inc. REIT      477,144  

8,122

   RE/MAX Holdings, Inc.      261,204  

41,194

   Realogy Holdings Corporationg      275,176  

8,928

   Redfin Corporationg,h      150,348  

4,220

   Retail Opportunity Investments Corporation      76,931  

44,014

   Retail Properties of America, Inc.      542,252  

2,276

   RioCan REIT      45,319  

14,340

   RLJ Lodging Trust      243,637  

1,994

   RMR Group, Inc.      90,687  

10,000

   Road King Infrastructure, Ltd.      16,892  

17,802

   RPT Realty      241,217  

6,624

   Ryman Hospitality Properties      541,909  

42,902

   Sabra Health Care REIT, Inc.      985,030  

2,996

   Saul Centers, Inc.      163,312  

24,006

   SBA Communications Corporation      5,789,047  

56,635

   Senior Housing Property Trust      524,157  

6,494

   Seritage Growth Properties      275,930  

48,391

   Service Properties Trust      1,248,004  

6,164

   SITE Centers Corporation      93,138  

16,427

   Spirit Realty Capital, Inc.      786,196  

19,653

   St. Joe Companyg,h      336,656  

6,651

   STAG Industrial, Inc.      196,071  

14,817

   Store Capital Corporation      554,304  

34,445

   Summit Hotel Properties, Inc.      399,562  

16,320

   Sunstone Hotel Investors, Inc.      224,237  

527

   Swiss Prime Site AG      51,574  

3,864

   TAG Immobilien AG      88,179  

11,347

   Tanger Factory Outlet Centers, Inc.      175,652  

7,459

   Taubman Centers, Inc.      304,551  

21,464

   Terreno Realty Corporation      1,096,596  

12,590

   UMH Properties, Inc.      177,267  

1,414

   Universal Health Realty Income Trust      145,359  
Shares    Common Stock (31.1%)    Value  

Real Estate (1.3%) - continued

  

26,173

   Urban Edge Properties      $517,964  

11,112

   Urstadt Biddle Properties, Inc.      263,354  

32,469

   VICI Properties, Inc.      735,423  

50,266

   Washington Prime Group, Inc.      208,101  

3,108

   Washington REIT      85,035  

15,495

   Weingarten Realty Investors      451,369  

3,336

   Weyerhaeuser Company      92,407  

22,800

   Wing Tai Holdings, Ltd.      33,815  

6,994

   Xenia Hotels & Resorts, Inc.      147,713  
  

 

 
   Total      85,294,108  
  

 

 

Utilities (0.2%)

  

17,296

   AGL Energy, Ltd.      223,758  

12,954

   Alliant Energy Corporation      698,609  

15,020

   Artesian Resources Corporation      555,740  

3,840

   Chesapeake Utilities Corporation      366,029  

10,905

   CMS Energy Corporation      697,375  

13,436

   Consolidated Water Company, Ltd.      221,560  

4,144

   Contact Energy, Ltd.      22,164  

10,479

   Enagas SA      242,239  

7,265

   Entergy Corporation      852,620  

49,772

   Exelon Corporation      2,404,485  

3,170

   IDACORP, Inc.      357,164  

7,311

   Middlesex Water Company      474,923  

29,102

   New Jersey Resources Corporation      1,315,992  

1,420

   Northland Power, Inc.      27,246  

20,648

   NorthWestern Corporation      1,549,632  

7,570

   Otter Tail Corporation      406,888  

48,296

   PNM Resources, Inc.      2,515,256  

9,205

   Public Service Enterprise Group, Inc.      571,446  

23,156

   Spire, Inc.      2,020,129  

8,628

   Unitil Corporation      547,360  
  

 

 
   Total      16,070,615  
  

 

 
     
  

 

 
  

Total Common Stock

(cost $1,528,636,060)

     2,007,914,291  
  

 

 
Principal
Amount
   Long-Term Fixed Income (17.7%)    Value  

Asset-Backed Securities (0.6%)

  
   Access Group, Inc.   
  

2.518%, (LIBOR 1M + 0.500%), 2/25/2036, Ser.

  

177,550

  

2013-1, Class Ab,i

     175,169  
   Aimco   
  

3.618%, (LIBOR 3M + 1.320%), 7/22/2032, Ser.

  

1,000,000

  

2019-10A, Class Ab,i

     999,892  
   Ares CLO, Ltd.   
  

3.703%, (LIBOR 3M + 1.400%), 10/17/2030, Ser.

  

1,500,000

  

2018-28RA, Class A2b,i

     1,481,179  
   Ares XXXIIR CLO, Ltd.   
  

3.098%, (LIBOR 3M + 0.940%), 5/15/2030, Ser.

  

750,000

  

2014-32RA, Class A1Ab,i

     739,863  
   Benefit Street Partners CLO IV, Ltd.   
  

4.028%, (LIBOR 3M + 1.750%), 1/20/2029, Ser.

  

1,000,000

  

2014-IVA, Class A2RRb,i

     999,524  
   Betony CLO, Ltd.   
  

3.346%, (LIBOR 3M + 1.080%), 4/30/2031, Ser.

  

350,000

  

2018-1A, Class A1b,i

     346,811  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

180


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

Asset-Backed Securities (0.6%) - continued

 
 

Buttermilk Park CLO, Ltd.

 

$2,575,000

 

3.703%, (LIBOR 3M + 1.400%), 10/15/2031, Ser. 2018-1A, Class A2b,i

    $2,542,491  
 

Carlyle Global Market Strategies CLO, Ltd.

 

1,675,000

 

3.753%, (LIBOR 3M + 1.450%), 7/15/2031, Ser. 2014-5A, Class A2RRb,i

    1,654,319  
 

Carvana Auto Receivables Trust

 

100,000

 

2.340%, 6/15/2023, Ser. 2019-3A, Class A3i

    100,040  
 

CBAM, Ltd.

 

1,600,000

 

4.008%, (LIBOR 3M + 1.280%), 2/12/2030, Ser. 2019-9A, Class Ab,i

    1,601,416  
 

Colony American Finance Trust

 

1,737,899

 

2.835%, 6/15/2052, Ser. 2019-2, Class Ai

    1,769,850  
 

Commonbond Student Loan Trust

 

473,447

 

2.518%, (LIBOR 1M + 0.500%), 2/25/2044, Ser. 2018-AGS, Class A2b,i

    463,548  
 

Deephaven Residential Mortgage Trust

 

1,033,060

 

4.080%, 10/25/2058, Ser. 2018-4A, Class A1b,i

    1,043,462  
 

DRB Prime Student Loan Trust

 

149,391

 

3.918%, (LIBOR 1M + 1.900%), 10/27/2031, Ser. 2015-B, Class A1b,i

    151,525  
 

Dryden Senior Loan Fund

 

1,450,000

 

3.700%, (LIBOR 3M + 1.400%), 7/18/2030, Ser. 2018-65A, Class A2b,i

    1,428,156  
 

Earnest Student Loan Program, LLC

 

797,897

 

3.020%, 5/25/2034, Ser. 2016-B, Class A2i

    798,891  
 

Edlinc Student Loan Funding Trust

 

59,449

 

5.502%, (CMT 3M + 3.150%),
10/1/2025, Ser. 2012-A, Class ATb,i

    59,511  
 

Galaxy XX CLO, Ltd.

 

1,200,000

 

3.278%, (LIBOR 3M + 1.000%), 4/20/2031, Ser. 2015-20A, Class ARb,i

    1,188,136  
 

Golub Capital Partners, Ltd.

 

750,000

 

3.458%, (LIBOR 3M + 1.180%), 1/20/2031, Ser. 2015-22A, Class ARb,i

    743,819  

1,095,000

 

3.478%, (LIBOR 3M + 1.200%), 1/20/2031, Ser. 2015-23A, Class ARb,i

    1,090,068  
 

Goodgreen Trust

 

1,420,865

 

3.860%, 10/15/2054, Ser. 2019-1A, Class Ai

    1,504,748  
 

Home Partners of America Trust

 

1,991,279

 

2.908%, 9/17/2039, Ser. 2019-1, Class Ai

    2,023,638  

2,000,000

 

2.703%, 10/19/2039, Ser. 2019-2, Class Ai

    2,006,455  
 

Laurel Road Prime Student Loan Trust

 

753,777

 

2.810%, 11/25/2042, Ser. 2017-C, Class A2Bi

    763,149  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

Asset-Backed Securities (0.6%) - continued

 
 

Lendmark Funding Trust

 

$600,000

 

2.800%, 5/20/2026, Ser. 2017-2A, Class Ai

    $599,773  
 

Madison Park Funding XIV, Ltd.

 

1,100,000

 

3.678%, (LIBOR 3M + 1.400%), 10/22/2030, Ser. 2014-14A, Class A2RRb,i

    1,086,089  
 

Magnetite XII, Ltd.

 

1,200,000

 

3.403%, (LIBOR 3M + 1.100%), 10/15/2031, Ser. 2015-12A, Class ARRb,i

    1,196,320  
 

Mountain View CLO, Ltd.

 

850,000

 

3.423%, (LIBOR 3M + 1.120%), 7/15/2031, Ser. 2015-9A, Class A1Rb,i

    841,174  
 

National Collegiate Trust

 

700,918

 

2.313%, (LIBOR 1M + 0.295%), 5/25/2031, Ser. 2007-A, Class Ab,i

    680,973  
 

Neuberger Berman CLO XIV, Ltd.

 

600,000

 

3.506%, (LIBOR 3M + 1.250%), 1/28/2030, Ser. 2013-14A, Class ARb,i

    599,995  
 

Neuberger Berman CLO, Ltd.

 

260,000

 

3.458%, (LIBOR 3M + 1.180%), 4/22/2029, Ser. 2014-17A, Class ARb,i

    259,698  
 

Octagon Investment Partners XVI, Ltd.

 

250,000

 

3.703%, (LIBOR 3M + 1.400%), 7/17/2030, Ser. 2013-1A, Class A2Rb,i

    245,469  
 

OZLM VIII, Ltd.

 

385,000

 

3.473%, (LIBOR 3M + 1.170%), 10/17/2029, Ser. 2014-8A, Class A1RRb,i

    384,598  
 

Palmer Square Loan Funding, Ltd.

 

1,792,799

 

3.128%, (LIBOR 3M + 0.850%), 1/20/2027, Ser. 2018-5A, Class A1b,i

    1,791,264  

850,000

 

3.928%, (LIBOR 3M + 1.650%), 4/20/2027, Ser. 2019-1A, Class A2b,i

    849,985  
 

PPM CLO 3, Ltd.

 

750,000

 

3.874%, (LIBOR 3M + 1.400%), 7/17/2030, Ser. 2019-3A, Class Ab,i

    749,990  
 

Progress Residential Trust

 

2,000,000

 

3.422%, 8/17/2035, Ser. 2019-SFR1, Class Ai

    2,057,075  
 

Race Point IX CLO, Ltd.

 

900,000

 

3.513%, (LIBOR 3M + 1.210%), 10/15/2030, Ser. 2015-9A, Class A1ARb,i

    899,990  
 

Saxon Asset Securities Trust

 

430,017

 

4.117%, 8/25/2035, Ser. 2004-2, Class MF2

    425,635  
 

Shackleton CLO, Ltd.

 

800,000

 

3.473%, (LIBOR 3M + 1.170%), 7/15/2031, Ser. 2015-7RA, Class A1b,i

    796,120  
 

SLM Student Loan Trust

 

125,815

 

2.538%, (LIBOR 1M + 0.520%), 3/25/2026, Ser. 2011-1, Class A1b

    125,947  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

181


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

Asset-Backed Securities (0.6%) - continued

 
 

SoFi Professional Loan Program, LLC

 

$140,939

 

2.420%, 3/25/2030, Ser. 2015-A, Class A2i

    $140,945  
 

TCW GEM II, Ltd.

 

1,250,000

 

3.908%, (LIBOR 3M + 1.750%), 2/15/2029, Ser. 2019-1A, Class AJb,i

    1,250,454  
 

U.S. Small Business Administration

 

163,226

 

3.191%, 3/10/2024, Ser. 2014-10A, Class 1

    166,548  
 

 

 
 

Total

    40,823,702  
 

 

 

Basic Materials (0.2%)

 
 

Anglo American Capital plc

 

13,000

 

4.125%, 9/27/2022i

    13,541  

470,000

 

4.875%, 5/14/2025i

    510,521  
 

ArcelorMittal SA

 

263,000

 

6.125%, 6/1/2025

    295,983  
 

CF Industries, Inc.

 

815,000

 

3.450%, 6/1/2023

    827,225  
 

Dow Chemical Company

 

350,000

 

4.800%, 11/30/2028i

    395,476  
 

DowDuPont, Inc.

 

700,000

 

4.493%, 11/15/2025

    773,230  
 

First Quantum Minerals, Ltd.

 

800,000

 

7.500%, 4/1/2025i

    788,000  
 

Glencore Funding, LLC

 

224,000

 

4.125%, 5/30/2023i

    234,771  

300,000

 

4.000%, 3/27/2027i

    308,422  
 

International Paper Company

 

600,000

 

4.350%, 8/15/2048

    622,732  
 

Kinross Gold Corporation

 

7,000

 

5.125%, 9/1/2021

    7,262  

218,000

 

5.950%, 3/15/2024

    242,645  

635,000

 

4.500%, 7/15/2027

    665,944  
 

Novelis Corporation

 

815,000

 

5.875%, 9/30/2026i

    854,731  
 

Olin Corporation

 

895,000

 

5.125%, 9/15/2027

    915,137  
 

Peabody Securities Finance Corporation

 

775,000

 

6.375%, 3/31/2025i

    765,801  
 

Sherwin-Williams Company

 

540,000

 

3.125%, 6/1/2024

    557,837  
 

Syngenta Finance NV

 

525,000

 

3.933%, 4/23/2021i

    534,601  
 

Teck Resources, Ltd.

 

839,000

 

6.125%, 10/1/2035

    950,691  
 

Tronox Finance plc

 

450,000

 

5.750%, 10/1/2025i

    425,588  
 

Vale Overseas, Ltd.

 

62,000

 

4.375%, 1/11/2022

    64,015  

340,000

 

6.250%, 8/10/2026

    391,850  

168,000

 

6.875%, 11/21/2036

    212,856  
 

Westlake Chemical Corporation

 

448,000

 

3.600%, 8/15/2026

    462,647  
 

WestRock Company

 

470,000

 

3.750%, 3/15/2025

    494,812  
 

Weyerhaeuser Company

 

700,000

 

4.000%, 11/15/2029

    761,067  
 

Xstrata Finance Canada, Ltd.

 

10,000

 

4.950%, 11/15/2021i

    10,460  
 

 

 
 

Total

    13,087,845  
 

 

 
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

Capital Goods (0.3%)

 
 

AECOM

 

$320,000

 

5.875%, 10/15/2024

    $347,840  

530,000

 

5.125%, 3/15/2027

    556,500  
 

Amsted Industries, Inc.

 

555,000

 

5.625%, 7/1/2027i

    585,525  
 

Ardagh Packaging Finance plc

 

760,000

 

6.000%, 2/15/2025i

    794,656  
 

Boeing Company

 

400,000

 

3.850%, 11/1/2048

    435,750  
 

Bombardier, Inc.

 

1,155,000

 

7.500%, 3/15/2025i

    1,153,556  
 

Building Materials Corporation of America

 

710,000

 

6.000%, 10/15/2025i

    744,407  
 

Cemex SAB de CV

 

55,000

 

5.700%, 1/11/2025i

    56,579  

730,000

 

6.125%, 5/5/2025i

    759,200  
 

Cintas Corporation No. 2

 

10,000

 

2.900%, 4/1/2022

    10,219  

345,000

 

3.700%, 4/1/2027

    376,261  
 

CNH Industrial Capital, LLC

 

480,000

 

4.875%, 4/1/2021

    496,886  
 

CNH Industrial NV

 

300,000

 

3.850%, 11/15/2027

    309,217  
 

Covanta Holding Corporation

 

390,000

 

6.000%, 1/1/2027

    410,475  
 

Crown Americas Capital Corporation IV

 

720,000

 

4.500%, 1/15/2023

    756,000  
 

H&E Equipment Services, Inc.

 

620,000

 

5.625%, 9/1/2025

    638,228  
 

Ingersoll-Rand Luxembourg Finance SA

 

650,000

 

3.500%, 3/21/2026

    677,042  
 

L3Harris Technologies, Inc.

 

705,000

 

3.950%, 5/28/2024i

    748,204  
 

Lockheed Martin Corporation

 

480,000

 

3.600%, 3/1/2035

    517,751  

448,000

 

4.500%, 5/15/2036

    536,693  

120,000

 

6.150%, 9/1/2036

    166,118  
 

Northrop Grumman Corporation

 

820,000

 

3.850%, 4/15/2045

    903,699  
 

Owens-Brockway Glass Container, Inc.

 

960,000

 

5.000%, 1/15/2022i

    990,192  
 

Republic Services, Inc.

 

335,000

 

2.900%, 7/1/2026

    344,738  
 

Reynolds Group Issuer, Inc.

 

820,000

 

5.125%, 7/15/2023i

    839,475  
 

Rockwell Collins, Inc.

 

720,000

 

2.800%, 3/15/2022

    731,863  
 

Roper Technologies, Inc.

 

336,000

 

2.800%, 12/15/2021

    341,381  

185,000

 

3.650%, 9/15/2023

    194,222  

240,000

 

4.200%, 9/15/2028

    263,954  
 

Siemens Financieringsmaatschappij NV

 

932,000

 

4.200%, 3/16/2047i

    1,082,108  
 

Textron, Inc.

 

720,000

 

3.375%, 3/1/2028

    740,714  
 

United Rentals North America, Inc.

 

735,000

 

5.500%, 7/15/2025

    764,767  
 

United Technologies Corporation

 

750,000

 

4.450%, 11/16/2038

    892,947  

600,000

 

3.750%, 11/1/2046

    658,909  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

182


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

Capital Goods (0.3%) - continued

 

$600,000

 

4.050%, 5/4/2047

    $690,975  
 

 

 
 

Total

    20,517,051  
 

 

 

Collateralized Mortgage Obligations (0.6%)

 
 

Ajax Mortgage Loan Trust

 

1,472,694

 

4.360%, 9/25/2065, Ser. 2018-C, Class Ab,i

    1,489,733  
 

Angel Oak Mortgage Trust I, LLC

 

125,721

 

3.500%, 7/25/2046, Ser. 2016-1, Class A1i

    126,456  

1,030,038

 

3.628%, 3/25/2049, Ser. 2019-2, Class A1b,i

    1,044,431  
 

Banc of America Alternative Loan Trust

 

28,131

 

6.000%, 11/25/2035, Ser. 2005-10, Class 3CB1

    27,120  
 

Bayview Koitere Fund Trust

 

669,687

 

4.000%, 11/28/2053, Ser. 2017-SPL3, Class Ab,i

    688,503  
 

Bellemeade Re, Ltd.

 

1,400,000

 

3.118%, (LIBOR 1M + 1.100%), 7/25/2029, Ser. 2019-3A, Class M1Ab,i

    1,400,597  
 

BRAVO Residential Funding Trust

 

364,562

 

3.500%, 3/25/2058, Ser. 2019-1, Class A1Ci

    371,614  
 

Citicorp Mortgage Securities, Inc.

 

1,385,152

 

6.000%, 7/25/2037, Ser. 2007-6, Class 1A4

    1,364,316  
 

Citigroup Mortgage Loan Trust, Inc.

 

218,825

 

5.500%, 11/25/2035, Ser. 2005-9, Class 21A2

    223,157  

14,986

 

5.025%, 3/25/2037, Ser. 2007-AR4, Class 2A1Ab

    12,911  
 

COLT Funding, LLC

 

334,272

 

3.470%, 7/27/2048, Ser. 2018-2, Class A1b,i

    335,412  
 

Countrywide Alternative Loan Trust

 

270,793

 

3.666%, 10/25/2035, Ser. 2005-43, Class 4A1b

    250,449  

298,496

 

6.500%, 8/25/2036, Ser. 2006-23CB, Class 2A3

    181,048  

137,743

 

6.000%, 1/25/2037, Ser. 2006-39CB, Class 1A16

    137,422  

753,135

 

7.000%, 10/25/2037, Ser. 2007-24, Class A10

    457,080  
 

Countrywide Home Loans, Inc.

 

257,535

 

5.750%, 4/25/2037, Ser. 2007-3, Class A27

    210,680  
 

Credit Suisse First Boston Mortgage Securities Corporation

 

20,724

 

5.250%, 10/25/2035, Ser. 2005-9, Class 1A3

    21,130  
 

Credit Suisse Mortgage Trust

 

1,788,609

 

3.850%, 9/25/2057, Ser. 2018-RPL9, Class A1b,i

    1,856,267  
 

Deutsche Alt-A Securities, Inc., Mortgage Loan Trust

 

154,979

 

6.000%, 10/25/2021, Ser. 2006-AR5, Class 23A

    140,229  
 

Ellington Financial Mortgage Trust

 

1,111,617

 

4.140%, 10/25/2058, Ser. 2018-1, Class A1FXb,i

    1,125,606  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value
Collateralized Mortgage Obligations (0.6%) - continued

 

 

Federal Home Loan Mortgage Corporation

 

$1,099,436

 

4.000%, 7/15/2031, Ser. 4104, Class KIj

    $73,979  
 

Federal Home Loan Mortgage Corporation - REMIC

 

6,250,000

 

3.859%, 11/25/2028, Ser. K086, Class A2b,k

    7,066,514  

787,068

 

3.000%, 2/15/2033, Ser. 4170, Class IGj

    82,155  

1,746,541

 

3.000%, 3/15/2033, Ser. 4180, Class PIj

    177,696  
 

Federal National Mortgage Association - REMIC

 

2,971,384

 

3.000%, 12/25/2027, Ser. 2012-137, Class AIj

    215,593  
 

Galton Funding Mortgage Trust 2017-1

 

1,299,283

 

4.500%, 10/25/2058, Ser. 2018-2, Class A41b,i

    1,329,360  
 

GS Mortgage-Backed Securities Trust

 

1,836,391

 

2.625%, 1/25/2059, Ser. 2019-SL1, Class A1b,i

    1,824,514  
 

J.P. Morgan Alternative Loan Trust

 

90,582

 

6.500%, 3/25/2036, Ser. 2006-S1, Class 1A19

    75,791  
 

MASTR Alternative Loans Trust

 

481,914

 

2.468%, (LIBOR 1M + 0.450%), 12/25/2035, Ser. 2005-6, Class 2A1b

    162,525  
 

Merrill Lynch Alternative Note Asset Trust

 

195,106

 

6.000%, 3/25/2037, Ser. 2007-F1, Class 2A1

    144,678  
 

Preston Ridge Partners Mortgage Trust, LLC

 

1,090,629

 

4.500%, 1/25/2024, Ser. 2019-1A, Class A1i,l

    1,098,336  
 

Pretium Mortgage Credit Partners, LLC

 

546,806

 

4.213%, 7/25/2060, Ser. 2019-NPL1, Class A1i,l

    551,341  
 

RCO Mortgage, LLC

 

1,560,010

 

4.270%, 12/26/2053, Ser. 2018-VFS1, Class A1b,i

    1,591,065  
 

Renaissance Home Equity Loan Trust

 

1,130,769

 

5.580%, 11/25/2036, Ser. 2006-3, Class AF2l

    595,456  
 

Residential Accredit Loans, Inc. Trust

 

480,775

 

6.000%, 8/25/2035, Ser. 2005-QS10, Class 2A

    484,184  

36,554

 

5.750%, 9/25/2035, Ser. 2005-QS13, Class 2A3

    36,276  
 

Residential Funding Mortgage Security I Trust

 

121,911

 

6.000%, 7/25/2037, Ser. 2007-S7, Class A20

    119,841  
 

Sequoia Mortgage Trust

 

375,363

 

3.402%, 9/20/2046, Ser. 2007-1, Class 4A1b

    305,848  
 

Structured Adjustable Rate Mortgage Loan Trust

 

48,688

 

4.256%, 9/25/2035, Ser. 2005-18, Class 1A1b

    43,074  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

183


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

Collateralized Mortgage Obligations (0.6%) - continued

 

 

Structured Asset Mortgage Investments, Inc.

 

$68,642

 

2.328%, (LIBOR 1M + 0.310%), 12/25/2035, Ser. 2005-AR4, Class A1b

    $68,970  
 

Toorak Mortgage Corporation

 

550,000

 

4.458%, 3/25/2022, Ser. 2019-1, Class A1i,l

    558,840  

4,000,000

 

3.721%, 9/25/2022, Ser. 2019-2, Class A1l

    4,007,082  
 

Verus Securitization Trust

 

350,079

 

2.853%, 1/25/2047, Ser. 2017-1A, Class A1b,i

    349,563  

500,569

 

2.485%, 7/25/2047, Ser. 2017-2A, Class A1b,i

    497,828  

326,250

 

3.836%, 2/25/2059, Ser. 2019-1, Class A1b,i

    329,844  

223,647

 

3.211%, 4/25/2059, Ser. 2019-2, Class A1b,i

    224,872  

447,294

 

3.345%, 4/25/2059, Ser. 2019-2, Class A2b,i

    449,814  

1,610,355

 

2.913%, 7/25/2059, Ser. 2019-INV2, Class A1b,i

    1,614,662  
 

WaMu Mortgage Pass Through Certificates

 

100,128

 

3.811%, 9/25/2036, Ser. 2006-AR10, Class 1A2b

    96,478  

243,145

 

3.909%, 10/25/2036, Ser. 2006-AR12, Class 1A1b

    238,880  

64,890

 

3.186%, (12 MTA + 0.740%),
1/25/2047, Ser. 2006-AR19, Class 1Ab

    62,985  
 

Wells Fargo Mortgage Backed Securities Trust

 

18,888

 

5.005%, 3/25/2036, Ser. 2006-AR2, Class 2A1b

    19,408  
 

Total

    35,961,613  

Commercial Mortgage-Backed Securities (0.7%)

 

 

Benchmark 2019-B13 Mortgage Trust

 

1,750,000

 

2.952%, 8/15/2057, Ser. 2019-B13, Class A4e

    1,815,294  
 

CSAIL Commercial Mortgage Trust

 

1,900,000

 

3.504%, 6/15/2057, Ser. 2015-C2, Class A4

    2,013,815  
 

Federal Home Loan Mortgage Corporation Multifamily Structured Pass Through Certificates

 

550,000

 

3.422%, 2/25/2052, Ser. K090, Class A2k

    605,682  

4,225,000

 

3.780%, 10/25/2028, Ser. K084, Class A2b,k

    4,745,345  

4,400,000

 

3.505%, 3/25/2029, Ser. K091, Class A2k

    4,877,343  

603,002

 

3.000%, 3/15/2045, Ser. 4741, Class GA

    620,024  
 

Federal National Mortgage Association

 

3,645,000

 

3.410%, 5/1/2028

    3,884,436  

2,000,000

 

3.640%, 6/1/2028

    2,153,116  

2,059,595

 

3.730%, 6/1/2028

    2,219,533  

850,000

 

3.710%, 7/1/2028

    914,429  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

Commercial Mortgage-Backed Securities (0.7%) - continued

 

 

Federal National Mortgage Association - ACES

 

$1,200,000

 

2.569%, 12/25/2026, Ser. 2017-M3, Class A2b

    $1,223,691  

1,375,000

 

2.961%, 2/25/2027, Ser. 2017-M7, Class A2b

    1,443,176  

2,250,000

 

3.555%, 9/25/2028, Ser. 2019-M1, Class A2b

    2,487,397  

3,250,000

 

3.639%, 8/25/2030, Ser. 2018-M12, Class A2b

    3,636,744  
 

Federal National Mortgage Association Grantor Trust

 

2,395,909

 

2.898%, 6/25/2027, Ser. 2017-T1, Class Ak

    2,505,768  
 

GS Mortgage Securities Trust

 

1,141,073

 

3.801%, 1/10/2047, Ser. 2014-GC18, Class A3

    1,206,606  

2,450,000

 

3.666%, 9/10/2047, Ser. 2014-GC24, Class A4

    2,609,102  

975,000

 

3.244%, 10/10/2048, Ser. 2015-GC34, Class A3

    1,027,357  
 

UBS Commercial Mortgage Trust

 

1,350,000

 

2.921%, 9/15/2052, Ser. 2019-C17, Class A4e

    1,389,558  

2,000,000

 

4.241%, 6/15/2051, Ser. 2018-C11, Class A5b

    2,267,968  
  Total     43,646,384  

Communications Services (0.6%)

 

 

AMC Networks, Inc.

 

620,000

 

5.000%, 4/1/2024

    638,600  
 

American Tower Corporation

 

10,000

 

2.800%,6/1/2020

    10,038  
 

AT&T, Inc.

 

750,000

 

4.350%, 3/1/2029

    828,850  

281,000

 

4.300%, 2/15/2030

    309,256  

480,000

 

5.250%, 3/1/2037

    565,169  

700,000

 

4.900%, 8/15/2037

    795,360  

336,000

 

6.350%, 3/15/2040

    427,000  

355,000

 

5.550%, 8/15/2041

    423,749  

275,000

 

4.750%, 5/15/2046

    305,157  

580,000

 

5.450%, 3/1/2047

    700,734  
 

British Sky Broadcasting Group plc

 

455,000

 

3.125%, 11/26/2022i

    469,777  
 

British Telecommunications plc

 

700,000

 

4.500%, 12/4/2023

    752,898  
 

CCO Holdings, LLC

 

900,000

 

5.875%, 4/1/2024i

    939,114  

600,000

 

5.500%, 5/1/2026i

    628,440  

380,000

 

5.125%, 5/1/2027i

    396,625  
 

CCOH Safari, LLC

 

30,000

 

5.750%, 2/15/2026i

    31,650  
 

Charter Communications Operating, LLC

 

217,000

 

6.834%, 10/23/2055

    274,355  

300,000

 

4.500%, 2/1/2024

    322,328  

595,000

 

4.200%, 3/15/2028

    626,383  

1,410,000

 

6.484%, 10/23/2045

    1,718,079  
 

Comcast Corporation

 

625,000

 

4.950%, 10/15/2058

    801,853  

370,000

 

4.049%, 11/1/2052

    411,736  

14,000

 

1.625%, 1/15/2022

    13,946  

360,000

 

2.750%, 3/1/2023

    368,799  

420,000

 

3.950%, 10/15/2025

    457,295  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

184


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

Communications Services (0.6%) - continued

 

$725,000

 

4.250%, 10/15/2030

    $825,201  

960,000

 

4.400%, 8/15/2035

    1,120,533  

490,000

 

4.750%, 3/1/2044

    598,640  

250,000

 

4.600%, 8/15/2045

    300,679  
 

Cox Communications, Inc.

 

600,000

 

3.350%, 9/15/2026i

    619,837  

240,000

 

4.600%, 8/15/2047i

    263,560  
 

Crown Castle International Corporation

 

526,000

 

3.400%, 2/15/2021

    533,199  

336,000

 

5.250%, 1/15/2023

    366,609  

480,000

 

3.200%, 9/1/2024

    494,665  
 

CSC Holdings, LLC

 

220,000

 

5.500%, 5/15/2026i

    231,528  
 

Discovery Communications, LLC

 

600,000

 

4.900%, 3/11/2026

    666,788  
 

Embarq Corporation

 

400,000

 

7.995%, 6/1/2036

    395,376  
 

Frontier Communications Corporation

 

200,000

 

8.000%, 4/1/2027i

    210,938  
 

Gray Television, Inc.

 

735,000

 

5.875%, 7/15/2026i

    764,400  
 

Level 3 Communications, Inc.

 

920,000

 

5.375%, 1/15/2024

    938,262  
 

Level 3 Financing, Inc.

 

335,000

 

5.375%, 5/1/2025

    347,144  

30,000

 

5.250%, 3/15/2026

    31,195  
 

Moody’s Corporation

 

315,000

 

2.750%, 12/15/2021

    319,158  
 

Neptune Finco Corporation

 

798,000

 

10.875%, 10/15/2025i

    903,695  
 

Netflix, Inc.

 

875,000

 

4.875%, 4/15/2028

    890,269  
 

Nexstar Escrow Corporation

 

610,000

 

5.625%, 8/1/2024i

    634,918  
 

Omnicom Group, Inc.

 

224,000

 

3.600%, 4/15/2026

    236,169  
 

Sirius XM Radio, Inc.

 

780,000

 

5.000%, 8/1/2027i

    804,531  
 

Sprint Communications, Inc.

 

615,000

 

6.000%, 11/15/2022

    653,438  
 

Sprint Corporation

 

695,000

 

7.625%, 2/15/2025

    764,500  
 

Telefonica Emisiones SAU

 

525,000

 

4.570%, 4/27/2023

    565,916  
 

Time Warner Entertainment Company, LP

 

459,000

 

8.375%, 3/15/2023

    543,474  
 

T-Mobile USA, Inc.

 

1,180,000

 

4.500%, 2/1/2026

    1,214,574  
 

Verizon Communications, Inc.

 

1,008,000

 

5.150%, 9/15/2023

    1,127,346  

874,000

 

3.376%, 2/15/2025

    923,097  

245,000

 

3.258%, (LIBOR 3M + 1.100%), 5/15/2025b

    248,787  

319,000

 

4.272%, 1/15/2036

    359,272  

960,000

 

4.862%, 8/21/2046

    1,173,806  

198,000

 

4.522%, 9/15/2048

    233,816  
 

Viacom, Inc.

 

249,000

 

4.250%, 9/1/2023

    264,067  

480,000

 

6.875%, 4/30/2036

    616,210  

336,000

 

5.850%, 9/1/2043

    413,231  
 

Virgin Media Secured Finance plc

 

775,000

 

5.250%, 1/15/2026i

    796,313  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

Communications Services (0.6%) - continued

 
 

Vodafone Group plc

 

$800,000

 

4.875%, 6/19/2049

    $891,348  
 

Walt Disney Company

 

900,000

 

6.400%, 12/15/2035i

    1,298,075  
 

Total

    37,801,755  

Consumer Cyclical (0.5%)

 
 

Allison Transmission, Inc.

 

785,000

 

5.000%, 10/1/2024i

    802,172  
 

Amazon.com, Inc.

 

600,000

 

3.875%, 8/22/2037

    689,381  

360,000

 

4.050%, 8/22/2047

    433,309  
 

American Honda Finance Corporation

 

520,000

 

2.000%, 2/14/2020

    519,950  

800,000

 

2.150%, 9/10/2024

    795,597  
 

Brookfield Property REIT, Inc.

 

390,000

 

5.750%, 5/15/2026i

    407,550  
 

Brookfield Residential Properties, Inc.

 

810,000

 

6.250%, 9/15/2027i

    814,050  
 

Cinemark USA, Inc.

 

961,000

 

4.875%, 6/1/2023

    974,214  
 

D.R. Horton, Inc.

 

534,000

 

2.550%, 12/1/2020

    535,568  
 

Daimler Finance North America, LLC

 

350,000

 

2.886%,(LIBOR 3M + 0.620%), 10/30/2019b,i

    350,213  

425,000

 

2.837%,(LIBOR 3M + 0.550%), 5/4/2021b,i

    424,767  
 

Ford Motor Credit Company, LLC

 

14,000

 

2.597%, 11/4/2019

    13,999  

168,000

 

3.200%, 1/15/2021

    168,220  

10,000

 

3.336%, 3/18/2021

    10,046  

775,000

 

5.596%, 1/7/2022

    814,258  

170,000

 

3.374%, (LIBOR 3M + 1.270%), 3/28/2022b

    167,671  

650,000

 

2.979%, 8/3/2022

    643,582  
 

General Motors Company

 

625,000

 

3.034%,(LIBOR 3M + 0.900%), 9/10/2021b

    624,419  

825,000

 

5.000%, 10/1/2028

    877,066  
 

General Motors Financial Company, Inc.

 

10,000

 

2.650%, 4/13/2020

    10,013  

224,000

 

4.200%, 3/1/2021

    228,826  

515,000

 

3.161%, (LIBOR 3M + 0.850%), 4/9/2021b

    514,680  

10,000

 

4.375%, 9/25/2021

    10,331  

531,000

 

3.150%, 6/30/2022

    537,145  

224,000

 

3.950%, 4/13/2024

    230,507  

385,000

 

4.300%, 7/13/2025

    400,605  
 

Hanesbrands, Inc.

 

580,000

 

4.875%, 5/15/2026i

    612,770  
 

Hilton Domestic Operating Company, Inc.

 

770,000

 

4.875%, 1/15/2030i

    813,004  
 

Home Depot, Inc.

 

10,000

 

2.625%, 6/1/2022

    10,232  

575,000

 

5.400%, 9/15/2040

    765,553  

336,000

 

4.250%, 4/1/2046

    402,005  

590,000

 

3.900%, 6/15/2047

    675,957  
 

Hyundai Capital America

 

1,200,000

 

3.000%, 6/20/2022i

    1,209,118  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

185


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Consumer Cyclical (0.5%) - continued

 
 

L Brands, Inc.

 

$380,000

 

5.625%, 2/15/2022

    $400,425  

389,000

 

6.694%, 1/15/2027

    382,193  
 

Landry’s, Inc.

 

695,000

 

6.750%, 10/15/2024i

    712,375  
 

Lear Corporation

 

485,000

 

5.250%, 1/15/2025

    500,985  
 

Lennar Corporation

 

9,000

 

2.950%, 11/29/2020

    8,988  

350,000

 

4.125%, 1/15/2022

    358,313  

50,000

 

4.750%, 11/15/2022

    52,625  

1,000,000

 

4.875%, 12/15/2023

    1,062,500  
 

Live Nation Entertainment, Inc.

 

200,000

 

5.375%, 6/15/2022i

    202,500  

380,000

 

4.875%, 11/1/2024i

    393,694  

405,000

 

5.625%, 3/15/2026i

    430,819  
 

Macy’s Retail Holdings, Inc.

 

720,000

 

2.875%, 2/15/2023

    710,889  
 

Mastercard, Inc.

 

700,000

 

3.950%, 2/26/2048

    828,495  
 

Mattamy Group Corporation

 

620,000

 

6.500%, 10/1/2025i

    651,000  
 

McDonald’s Corporation

 

335,000

 

2.750%, 12/9/2020

    337,657  

575,000

 

4.450%, 3/1/2047

    660,670  
 

MGM Resorts International

 

795,000

 

6.000%, 3/15/2023

    875,852  

30,000

 

5.750%, 6/15/2025

    33,038  
 

Navistar International Corporation

 

825,000

 

6.625%, 11/1/2025i

    837,375  
 

New Red Finance, Inc.

 

785,000

 

4.250%, 5/15/2024i

    807,537  
 

Prime Security Services Borrower, LLC

 

790,000

 

5.750%, 4/15/2026i

    822,627  
 

Ralph Lauren Corporation

 

10,000

 

2.625%, 8/18/2020

    10,063  
 

Scientific Games International, Inc.

 

380,000

 

5.000%, 10/15/2025i

    392,084  
 

ServiceMaster Company, LLC

 

790,000

 

5.125%, 11/15/2024i

    819,625  
 

Six Flags Entertainment Corporation

 

760,000

 

4.875%, 7/31/2024i

    786,600  
 

Viking Cruises, Ltd.

 

550,000

 

5.875%, 9/15/2027i

    582,780  
 

Visa, Inc.

 

10,000

 

2.200%, 12/14/2020

    10,038  
 

Volkswagen Group of America Finance, LLC

 

860,000

 

4.250%, 11/13/2023i

    916,333  

575,000

 

4.750%, 11/13/2028i

    639,806  
 

Walmart, Inc.

 

600,000

 

3.250%, 7/8/2029

    648,469  
 

Yum! Brands, Inc.

 

635,000

 

5.000%, 6/1/2024i

    658,812  

200,000

 

4.750%, 1/15/2030i

    206,250  
 

 

 
 

Total

    33,228,195  
 

 

 

Consumer Non-Cyclical (0.8%)

 
 

Abbott Laboratories

 

610,000

 

2.900%, 11/30/2021

    621,004  

204,000

 

3.400%, 11/30/2023

    214,457  

941,000

 

4.750%, 11/30/2036

    1,156,487  
 

AbbVie, Inc.

 

809,000

 

2.500%, 5/14/2020

    810,845  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Consumer Non-Cyclical (0.8%) - continued

 

$7,000

 

2.900%, 11/6/2022

    $7,134  

540,000

 

3.600%, 5/14/2025

    561,526  

240,000

 

4.700%, 5/14/2045

    256,403  
 

Albertson’s Companies, LLC

 

40,000

 

6.625%, 6/15/2024

    41,900  

750,000

 

7.500%, 3/15/2026i

    834,375  
 

Allergan, Inc.

 

700,000

 

2.800%, 3/15/2023

    706,490  
 

Altria Group, Inc.

 

400,000

 

4.400%, 2/14/2026

    427,597  

1,575,000

 

5.800%, 2/14/2039

    1,826,366  
 

Amgen, Inc.

 

708,000

 

2.200%, 5/11/2020

    707,808  

300,000

 

3.125%, 5/1/2025

    311,941  
 

Anheuser-Busch Companies, LLC

 

1,034,000

 

3.650%, 2/1/2026

    1,107,904  

896,000

 

4.700%, 2/1/2036

    1,036,261  
 

Anheuser-Busch InBev Finance, Inc.

 

6,000

 

3.300%, 2/1/2023

    6,237  
 

Anheuser-Busch InBev Worldwide, Inc.

 

1,150,000

 

4.750%, 4/15/2058

    1,339,067  

575,000

 

4.375%, 4/15/2038

    643,885  

75,000

 

4.600%, 4/15/2048

    86,456  
 

Anthem, Inc.

 

590,000

 

4.625%, 5/15/2042

    653,923  
 

B&G Foods, Inc.

 

270,000

 

5.250%, 9/15/2027

    276,102  
 

BAT Capital Corporation

 

360,000

 

3.222%, 8/15/2024

    364,351  

480,000

 

4.540%, 8/15/2047

    460,834  
 

Baxalta, Inc.

 

246,000

 

4.000%, 6/23/2025

    265,175  
 

Bayer U.S. Finance II, LLC

 

580,000

 

4.250%, 12/15/2025i

    619,220  
 

Becton, Dickinson and Company

 

516,000

 

3.734%, 12/15/2024

    546,049  

750,000

 

3.700%, 6/6/2027

    794,622  

354,000

 

4.669%, 6/6/2047

    418,342  
 

Boston Scientific Corporation

 

425,000

 

4.000%, 3/1/2028

    465,991  

336,000

 

7.375%, 1/15/2040

    511,213  
 

Bunge, Ltd. Finance Corporation

 

190,000

 

3.500%, 11/24/2020

    192,051  
 

Cargill, Inc.

 

800,000

 

3.250%, 5/23/2029i

    856,134  
 

Celgene Corporation

 

945,000

 

2.875%, 8/15/2020

    950,196  
 

Centene Corporation

 

780,000

 

4.750%, 1/15/2025

    800,670  
 

Cigna Corporation

 

120,000

 

3.193%, (LIBOR 3M + 0.890%),
7/15/2023b

    120,271  

480,000

 

4.125%, 11/15/2025

    516,858  

525,000

 

3.050%, 10/15/2027

    534,316  

590,000

 

4.800%, 8/15/2038

    662,931  
 

Clorox Company

 

720,000

 

3.100%, 10/1/2027

    751,160  
 

Conagra Brands, Inc.

 

385,000

 

3.800%, 10/22/2021

    397,309  

455,000

 

4.300%, 5/1/2024

    488,261  
 

Constellation Brands, Inc.

 

470,000

 

3.600%, 2/15/2028

    496,326  
 

CVS Health Corporation

 

7,000

 

2.750%, 12/1/2022

    7,086  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

186


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Consumer Non-Cyclical (0.8%) - continued

 

$236,000

 

3.700%, 3/9/2023

    $245,635  

110,000

 

4.000%, 12/5/2023

    116,248  

580,000

 

4.100%, 3/25/2025

    619,321  

1,440,000

 

4.875%, 7/20/2035

    1,610,372  

690,000

 

4.780%, 3/25/2038

    760,657  

155,000

 

5.050%, 3/25/2048

    176,271  
 

EMD Finance, LLC

 

280,000

 

2.950%, 3/19/2022i

    283,340  
 

Energizer Holdings, Inc.

 

820,000

 

5.500%, 6/15/2025i

    848,971  
 

Express Scripts Holding Company

 

7,000

 

4.750%, 11/15/2021

    7,356  

740,000

 

4.800%, 7/15/2046

    828,922  
 

HCA, Inc.

 

1,120,000

 

5.375%, 2/1/2025

    1,223,600  
 

Imperial Brands Finance plc

 

825,000

 

3.875%, 7/26/2029i

    831,577  
 

Imperial Tobacco Finance plc

 

80,000

 

2.950%, 7/21/2020i

    80,290  
 

JBS USA Lux SA

 

810,000

 

5.500%, 1/15/2030i

    858,584  
 

JBS USA, LLC

 

795,000

 

5.750%, 6/15/2025i

    828,247  
 

Keurig Dr Pepper, Inc.

 

470,000

 

3.551%, 5/25/2021

    480,390  
 

Kimberly-Clark Corporation

 

600,000

 

3.900%, 5/4/2047

    688,463  
 

Kraft Foods Group, Inc.

 

448,000

 

5.000%, 6/4/2042

    462,133  
 

Kraft Heinz Foods Company

 

750,000

 

3.375%, 6/15/2021

    759,706  

900,000

 

4.875%, 10/1/2049i

    908,311  
 

Kroger Company

 

300,000

 

2.800%, 8/1/2022

    305,264  
 

Medtronic, Inc.

 

1,231,000

 

4.375%, 3/15/2035

    1,482,132  

35,000

 

4.625%, 3/15/2045

    44,920  
 

Merck & Company, Inc.

 

88,000

 

3.700%, 2/10/2045

    99,629  
 

Mondelez International Holdings Netherlands BV

 

515,000

 

2.000%, 10/28/2021i

    513,970  
 

Mylan, Inc.

 

120,000

 

3.125%, 1/15/2023i

    121,249  
 

Nestle Holdings, Inc.

 

750,000

 

3.900%, 9/24/2038i

    866,938  
 

Par Pharmaceutical, Inc.

 

390,000

 

7.500%, 4/1/2027i

    354,900  
 

Pernod Ricard SA

 

5,000

 

5.750%, 4/7/2021i

    5,261  
 

Perrigo Finance Unlimited Company

 

160,000

 

4.900%, 12/15/2044

    149,839  
 

Post Holdings, Inc.

 

390,000

 

5.500%, 3/1/2025i

    408,525  
 

Reynolds American, Inc.

 

672,000

 

5.700%, 8/15/2035

    750,380  
 

Roche Holdings, Inc.

 

336,000

 

4.000%, 11/28/2044i

    400,719  
 

Shire Acquisitions Investments Ireland Designated Activity Company

 

702,000

 

2.400%, 9/23/2021

    705,255  
 

Simmons Foods, Inc.

 

810,000

 

5.750%, 11/1/2024i

    789,750  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Consumer Non-Cyclical (0.8%) - continued

 
 

Smithfield Foods, Inc.

 

$566,000

 

2.700%, 1/31/2020i

    $565,667  

350,000

 

2.650%, 10/3/2021i

    346,636  
 

Spectrum Brands, Inc.

 

650,000

 

5.750%, 7/15/2025

    678,268  
 

Tenet Healthcare Corporation

 

210,000

 

4.625%, 7/15/2024

    215,823  

570,000

 

5.125%, 11/1/2027i

    589,009  
 

Teva Pharmaceutical Finance Netherlands III BV

 

10,000

 

2.200%, 7/21/2021

    9,138  
 

Tyson Foods, Inc.

 

236,000

 

3.550%, 6/2/2027

    250,120  
 

UnitedHealth Group, Inc.

 

600,000

 

2.950%, 10/15/2027

    619,495  

1,010,000

 

4.625%, 7/15/2035

    1,224,127  
 

Valeant Pharmaceuticals International, Inc.

 

380,000

 

5.875%, 5/15/2023i

    384,750  
 

VRX Escrow Corporation

 

1,535,000

 

6.125%, 4/15/2025i

    1,592,563  
 

Zimmer Biomet Holdings, Inc.

 

650,000

 

3.550%, 4/1/2025

    682,518  
 

Zoetis, Inc.

 

9,000

 

3.450%, 11/13/2020

    9,116  

768,000

 

4.700%, 2/1/2043

    921,463  
 

 

 
 

Total

    52,559,352  
 

 

 

Energy (0.6%)

 
 

Alliance Resource Operating Partners, LP

 

765,000

 

7.500%, 5/1/2025i

    755,437  
 

Antero Resources Corporation

 

275,000

 

5.125%, 12/1/2022

    241,312  

500,000

 

5.625%, 6/1/2023g

    432,500  
 

BP Capital Markets America, Inc.

 

120,000

 

3.119%, 5/4/2026

    125,266  
 

BP Capital Markets plc

 

7,000

 

2.315%, 2/13/2020

    7,007  

335,000

 

3.535%, 11/4/2024

    355,717  

840,000

 

3.279%, 9/19/2027

    884,288  
 

Canadian Natural Resources, Ltd.

 

585,000

 

3.450%, 11/15/2021

    597,073  
 

Canadian Oil Sands, Ltd.

 

315,000

 

9.400%, 9/1/2021i

    351,637  
 

Cenovus Energy, Inc.

 

600,000

 

5.400%, 6/15/2047

    675,904  
 

Cheniere Corpus Christi Holdings, LLC

 

715,000

 

7.000%, 6/30/2024

    821,356  

685,000

 

5.875%, 3/31/2025

    762,062  
 

Cheniere Energy Partners, LP

 

995,000

 

5.625%, 10/1/2026

    1,055,844  
 

Chesapeake Energy Corporation

 

810,000

 

7.000%, 10/1/2024

    581,175  
 

ConocoPhillips

 

590,000

 

6.500%, 2/1/2039

    853,753  
 

Continental Resources, Inc.

 

331,000

 

5.000%, 9/15/2022

    333,916  

600,000

 

4.375%, 1/15/2028

    619,959  
 

Diamondback Energy, Inc.

 

480,000

 

4.750%, 11/1/2024

    491,400  

300,000

 

5.375%, 5/31/2025

    313,068  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

187


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Energy (0.6%) - continued

 
 

El Paso Pipeline Partners Operating Company, LLC

 

$355,000

 

4.300%, 5/1/2024

    $379,688  
 

Enbridge Energy Partners, LP

 

595,000

 

5.875%, 10/15/2025

    693,137  
 

Enbridge, Inc.

 

400,000

 

2.900%, 7/15/2022

    407,593  
 

Energy Transfer Operating, LP

 

200,000

 

4.200%, 9/15/2023

    210,410  

600,000

 

6.000%, 6/15/2048

    709,288  
 

Energy Transfer Partners, LP

 

265,000

 

4.900%, 3/15/2035

    273,740  

250,000

 

5.150%, 2/1/2043

    259,842  
 

Eni SPA

 

625,000

 

4.000%, 9/12/2023i

    661,695  
 

EnLink Midstream Partners, LP

 

225,000

 

4.150%, 6/1/2025

    208,688  

968,000

 

4.850%, 7/15/2026

    919,600  
 

Enterprise Products Operating, LLC

 

172,000

 

5.100%, 2/15/2045

    202,622  
 

EQM Midstream Partners LP

 

590,000

 

4.750%, 7/15/2023

    592,222  
 

EQT Corporation

 

250,000

 

4.875%, 11/15/2021

    256,453  
 

Hess Corporation

 

900,000

 

3.500%, 7/15/2024

    918,572  
 

Kinder Morgan Energy Partners, LP

 

340,000

 

3.500%, 3/1/2021

    345,132  

14,000

 

3.450%, 2/15/2023

    14,439  

585,000

 

6.500%, 9/1/2039

    740,569  
 

Kinder Morgan, Inc.

 

530,000

 

6.500%, 9/15/2020

    550,814  
 

Magellan Midstream Partners, LP

 

315,000

 

5.000%, 3/1/2026

    353,648  
 

Marathon Oil Corporation

 

342,000

 

2.700%, 6/1/2020

    342,669  

830,000

 

6.600%, 10/1/2037

    1,033,023  
 

Marathon Petroleum Corporation

 

708,000

 

4.750%, 12/15/2023

    768,393  

230,000

 

6.500%, 3/1/2041

    286,418  
 

MPLX, LP

 

10,000

 

4.500%, 7/15/2023

    10,654  

650,000

 

4.875%, 12/1/2024

    713,602  

708,000

 

4.875%, 6/1/2025

    778,964  
 

Nabors Industries, Inc.

 

410,000

 

5.750%, 2/1/2025

    303,400  
 

Newfield Exploration Company

 

800,000

 

5.625%, 7/1/2024

    882,602  
 

Noble Energy, Inc.

 

1,000,000

 

5.050%, 11/15/2044

    1,091,493  
 

Occidental Petroleum Corporation

 

566,000

 

4.850%, 3/15/2021

    585,227  

360,000

 

3.200%, 8/15/2026

    362,663  
 

Parsley Energy, LLC

 

650,000

 

5.625%, 10/15/2027i

    671,125  
 

Petrobras Global Finance BV

 

385,000

 

5.093%, 1/15/2030i

    401,613  
 

Phillips 66

 

480,000

 

3.900%, 3/15/2028

    517,559  
 

Pioneer Natural Resources Company

 

225,000

 

4.450%, 1/15/2026

    246,529  
 

Plains All American Pipeline, LP

 

550,000

 

5.000%, 2/1/2021

    564,228  
 

Precision Drilling Corporation

 

370,000

 

7.125%, 1/15/2026i

    342,250  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Energy (0.6%) - continued

 
 

Regency Energy Partners, LP

 

$448,000

 

5.875%, 3/1/2022

    $479,243  
 

Sabine Pass Liquefaction, LLC

 

351,000

 

6.250%, 3/15/2022

    378,202  

426,000

 

5.625%, 4/15/2023

    462,914  

480,000

 

5.750%, 5/15/2024

    535,065  
 

Schlumberger Holdings Corporation

 

580,000

 

4.000%, 12/21/2025i

    618,452  
 

Southwestern Energy Company

 

785,000

 

7.500%, 4/1/2026

    682,950  
 

Suncor Energy, Inc.

 

270,000

 

3.600%, 12/1/2024

    284,660  
 

Sunoco Logistics Partners Operations, LP

 

10,000

 

4.400%, 4/1/2021

    10,272  
 

Sunoco, LP

 

290,000

 

5.500%, 2/15/2026

    302,664  

435,000

 

5.875%, 3/15/2028

    461,644  
 

Tallgrass Energy Partners, LP

 

1,140,000

 

5.500%, 1/15/2028i

    1,114,236  
 

Transocean, Inc.

 

750,000

 

7.250%, 11/1/2025i

    660,938  
 

W&T Offshore, Inc.

 

395,000

 

9.750%, 11/1/2023i

    377,075  
 

Western Gas Partners, LP

 

472,000

 

4.000%, 7/1/2022

    477,719  
 

Williams Companies, Inc.

 

600,000

 

7.500%, 1/15/2031

    789,057  
 

Williams Partners, LP

 

294,000

 

4.000%, 11/15/2021

    302,199  

165,000

 

3.600%, 3/15/2022

    169,490  

300,000

 

4.500%, 11/15/2023

    321,130  

475,000

 

6.300%, 4/15/2040

    582,227  
 

Woodside Finance, Ltd.

 

600,000

 

3.650%, 3/5/2025i

    618,474  

240,000

 

3.700%, 3/15/2028i

    246,415  
 

WPX Energy, Inc.

 

535,000

 

5.750%, 6/1/2026

    548,375  
 

 

 
 

Total

    39,282,639  
 

 

 

Financials (1.5%)

 
 

ABN AMRO Bank NV

 

450,000

 

4.750%, 7/28/2025i

    484,193  
 

ACE INA Holdings, Inc.

 

10,000

 

2.875%, 11/3/2022

    10,251  

335,000

 

4.350%, 11/3/2045

    411,399  
 

AerCap Ireland Capital, Ltd.

 

224,000

 

4.625%, 10/30/2020

    229,299  

600,000

 

5.000%, 10/1/2021

    630,841  

420,000

 

3.500%, 1/15/2025

    428,657  
 

Air Lease Corporation

 

1,000

 

2.500%, 3/1/2021

    1,003  
 

Aircastle, Ltd.

 

700,000

 

5.000%, 4/1/2023

    749,695  
 

Ally Financial, Inc.

 

770,000

 

5.750%, 11/20/2025

    862,415  
 

American International Group, Inc.

 

336,000

 

4.125%, 2/15/2024

    359,591  

720,000

 

3.750%, 7/10/2025

    760,437  

650,000

 

3.900%, 4/1/2026

    692,224  
 

Ares Capital Corporation

 

665,000

 

3.875%, 1/15/2020

    666,772  
 

Athene Global Funding

 

6,000

 

4.000%, 1/25/2022i

    6,227  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

188


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Financials (1.5%) - continued

 
 

AvalonBay Communities, Inc.

 

$500,000

 

3.500%, 11/15/2025

    $531,015  
 

Aviation Capital Group, LLC

 

485,000

 

2.875%, 1/20/2022i

    486,977  
 

Avolon Holdings Funding, Ltd.

 

350,000

 

5.250%, 5/15/2024i

    374,745  
 

Banco Santander SA

 

600,000

 

3.460%, (LIBOR 3M +
1.120%), 4/12/2023b

    600,552  
 

Bank of America Corporation

 

5,000

 

2.738%, 1/23/2022b

    5,029  

450,000

 

3.499%, 5/17/2022b

    458,913  

595,000

 

3.300%, 1/11/2023

    615,120  

475,000

 

2.881%, 4/24/2023b

    482,151  

10,000

 

3.550%, 3/5/2024b

    10,400  

448,000

 

4.000%, 4/1/2024

    480,703  

750,000

 

4.200%, 8/26/2024

    804,477  

1,070,000

 

4.000%, 1/22/2025

    1,136,619  

650,000

 

3.458%, 3/15/2025b

    678,196  

600,000

 

3.093%, 10/1/2025b

    618,014  

720,000

 

4.183%, 11/25/2027

    774,683  

500,000

 

3.824%, 1/20/2028b

    537,333  

450,000

 

3.194%, 7/23/2030b

    464,365  

561,000

 

5.875%, 2/7/2042

    774,628  
 

Bank of Montreal

 

465,000

 

2.763%, (LIBOR 3M +
0.460%), 4/13/2021b

    466,783  
 

Bank of New York Mellon Corporation

 

40,000

 

2.500%, 4/15/2021

    40,301  

14,000

 

2.600%, 2/7/2022

    14,193  
 

Bank of Nova Scotia

 

950,000

 

2.718%, (LIBOR 3M +
0.440%), 4/20/2021b

    953,591  

510,000

 

2.700%, 3/7/2022

    518,921  
 

Barclays Bank plc

 

112,000

 

10.179%, 6/12/2021i

    125,254  
 

Barclays plc

 

790,000

 

3.250%, 1/12/2021

    795,723  

725,000

 

4.610%, 2/15/2023b

    753,181  

448,000

 

3.650%, 3/16/2025

    458,483  
 

Boston Properties, LP

 

525,000

 

4.500%, 12/1/2028

    597,327  
 

BPCE SA

 

300,000

 

3.000%, 5/22/2022i

    304,425  

840,000

 

3.500%, 10/23/2027i

    874,437  
 

Camden Property Trust

 

900,000

 

3.150%, 7/1/2029

    936,672  
 

Capital One Financial Corporation

 

466,000

 

3.050%, 3/9/2022

    475,290  

750,000

 

4.200%, 10/29/2025

    799,315  
 

Capital One NA

 

150,000

 

2.350%, 1/31/2020

    150,045  

800,000

 

2.150%, 9/6/2022

    799,322  
 

CIT Group, Inc.

 

905,000

 

5.000%, 8/15/2022

    958,757  
 

Citigroup, Inc.

 

14,000

 

2.650%, 10/26/2020

    14,085  

537,000

 

2.750%, 4/25/2022

    545,011  

244,000

 

4.050%, 7/30/2022

    255,443  

366,000

 

3.142%, 1/24/2023b

    372,783  

910,000

 

4.400%, 6/10/2025

    978,420  

448,000

 

3.200%, 10/21/2026

    462,506  

720,000

 

3.668%, 7/24/2028b

    762,067  

336,000

 

4.125%, 7/25/2028

    361,743  

600,000

 

3.520%, 10/27/2028b

    628,531  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Financials (1.5%) - continued

 

$700,000

 

3.878%, 1/24/2039b

    $765,359  

348,000

 

4.650%, 7/23/2048

    425,901  
 

CNA Financial Corporation

 

250,000

 

3.900%, 5/1/2029

    270,171  
 

Comerica, Inc.

 

180,000

 

3.700%, 7/31/2023

    189,007  
 

Commerzbank AG

 

600,000

 

8.125%, 9/19/2023i

    699,713  
 

Commonwealth Bank of Australia

 

350,000

 

2.250%, 3/10/2020i

    350,319  
 

Compass Bank

 

500,000

 

3.500%, 6/11/2021

    508,253  
 

Cooperatieve Centrale Raiffeisen- Boerenleenbank BA

 

620,000

 

3.950%, 11/9/2022

    645,778  

1,416,000

 

4.625%, 12/1/2023

    1,522,477  
 

Credit Agricole SA

 

807,000

 

3.375%, 1/10/2022i

    825,041  
 

Credit Suisse Group AG

 

250,000

 

2.997%, 12/14/2023b,i

    252,366  

350,000

 

7.250%, 9/12/2025b,i,m

    374,500  

450,000

 

3.869%, 1/12/2029b,i

    473,975  
 

Credit Suisse Group Funding (Guernsey), Ltd.

 

535,000

 

3.125%, 12/10/2020

    540,004  

21,000

 

3.800%, 9/15/2022

    21,818  
 

Credit Suisse Group Funding, Ltd.

 

448,000

 

3.750%, 3/26/2025

    470,780  
 

Danske Bank AS

 

675,000

 

3.244%, 12/20/2025b,i

    680,504  
 

Deutsche Bank AG

 

360,000

 

2.700%, 7/13/2020

    359,260  

675,000

 

3.375%, 5/12/2021

    673,049  

301,000

 

4.250%, 10/14/2021

    305,343  

700,000

 

4.875%, 12/1/2032b

    633,766  
 

Discover Bank

 

514,000

 

8.700%, 11/18/2019

    517,975  

400,000

 

2.450%, 9/12/2024

    398,915  

600,000

 

4.682%, 8/9/2028b

    627,297  
 

Duke Realty, LP

 

88,000

 

3.875%, 2/15/2021

    89,802  

264,000

 

4.375%, 6/15/2022

    277,355  
 

ERP Operating, LP

 

90,000

 

3.375%, 6/1/2025

    95,137  
 

Fidelity National Financial, Inc.

 

500,000

 

5.500%, 9/1/2022

    536,586  
 

Fifth Third Bancorp

 

148,000

 

2.875%, 7/27/2020

    148,920  

396,000

 

2.600%, 6/15/2022

    400,253  
 

Five Corners Funding Trust

 

1,090,000

 

4.419%, 11/15/2023i

    1,178,445  
 

GE Capital International Funding Company

 

2,290,000

 

4.418%, 11/15/2035

    2,402,006  
 

Goldman Sachs Group, Inc.

 

842,000

 

5.375%, 5/10/2020b,m

    848,315  

1,460,000

 

5.250%, 7/27/2021

    1,538,417  

10,000

 

3.328%, (LIBOR 3M + 1.170%), 11/15/2021b

    10,077  

14,000

 

3.000%, 4/26/2022

    14,156  

729,000

 

2.876%, 10/31/2022b

    737,442  

472,000

 

2.908%, 6/5/2023b

    478,209  

700,000

 

3.625%, 2/20/2024

    734,359  

825,000

 

3.691%, 6/5/2028b

    866,132  

790,000

 

4.750%, 10/21/2045

    950,020  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

189


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Financials (1.5%) - continued

 
 

Guardian Life Global Funding

 

$10,000

 

2.000%, 4/26/2021i

    $9,994  
 

HCP, Inc.

 

187,000

 

4.000%, 12/1/2022

    195,808  

176,000

 

3.400%, 2/1/2025

    182,503  
 

Hospitality Properties Trust

 

10,000

 

4.250%, 2/15/2021

    10,136  
 

HSBC Holdings plc

 

870,000

 

3.400%, 3/8/2021

    883,311  

464,000

 

6.875%, 6/1/2021b,m

    486,736  

350,000

 

2.650%, 1/5/2022

    352,512  

750,000

 

3.803%, 3/11/2025b

    781,322  

425,000

 

3.900%, 5/25/2026

    450,723  
 

HSBC USA, Inc.

 

625,000

 

2.350%, 3/5/2020

    625,608  
 

Huntington Bancshares, Inc.

 

10,000

 

3.150%, 3/14/2021

    10,134  
 

Icahn Enterprises, LP

 

345,000

 

6.750%, 2/1/2024

    358,800  

410,000

 

6.375%, 12/15/2025

    431,120  
 

ING Groep NV

 

375,000

 

3.150%, 3/29/2022

    383,462  

525,000

 

4.100%, 10/2/2023

    557,339  
 

International Lease Finance Corporation

 

14,000

 

4.625%, 4/15/2021

    14,416  

284,000

 

5.875%, 8/15/2022

    311,164  
 

Iron Mountain, Inc.

 

526,748

 

6.000%, 8/15/2023

    539,179  
 

J.P. Morgan Chase & Company

 

509,000

 

2.818%, (LIBOR 3M +
0.680%), 6/1/2021b

    509,814  

265,000

 

2.295%, 8/15/2021

    265,703  

10,000

 

2.776%, 4/25/2023b

    10,144  

575,000

 

2.700%, 5/18/2023

    584,862  

259,000

 

3.513%, (LIBOR 3M +
1.230%), 10/24/2023b

    263,106  

352,000

 

3.625%, 5/13/2024

    372,998  

750,000

 

3.875%, 9/10/2024

    799,051  

690,000

 

3.125%, 1/23/2025

    714,959  

1,080,000

 

3.900%, 7/15/2025

    1,165,344  

360,000

 

3.300%, 4/1/2026

    377,110  

675,000

 

4.203%, 7/23/2029b

    749,960  

570,000

 

4.452%, 12/5/2029b

    644,759  

720,000

 

3.882%, 7/24/2038b

    790,652  
 

J.P. Morgan Chase Bank NA

 

400,000

 

3.086%, 4/26/2021b

    402,108  
 

KeyCorp

 

300,000

 

2.900%, 9/15/2020

    302,247  
 

Kimco Realty Corporation

 

960,000

 

3.300%, 2/1/2025

    990,193  
 

Liberty Mutual Group, Inc.

 

4,000

 

5.000%, 6/1/2021i

    4,151  

224,000

 

4.950%, 5/1/2022i

    237,454  
 

Lincoln National Corporation

 

8,000

 

6.250%, 2/15/2020

    8,111  
 

Lloyds Bank plc

 
 

2.699%, (LIBOR 3M +

 

475,000

 

0.490%), 5/7/2021b

    474,952  
 

Lloyds Banking Group plc

 

600,000

 

2.907%, 11/7/2023b

    601,190  
 

Marsh & McLennan Companies, Inc.

 

550,000

 

3.875%, 3/15/2024

    586,322  
 

MassMutual Global Funding

 

400,000

 

2.750%, 6/22/2024i

    409,338  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Financials (1.5%) - continued

 
 

MetLife, Inc.

 

$355,000

 

4.050%, 3/1/2045

    $397,154  
 

Mitsubishi UFJ Financial Group, Inc.

 

7,000

 

2.998%, 2/22/2022

    7,122  

725,000

 

3.455%, 3/2/2023

    750,386  

600,000

 

3.287%, 7/25/2027

    627,418  
 

Morgan Stanley

 

14,000

 

2.800%, 6/16/2020

    14,071  

224,000

 

5.550%, 7/15/2020b,m

    227,102  

12,000

 

5.500%, 7/28/2021

    12,729  

560,000

 

2.625%, 11/17/2021

    565,104  

254,000

 

3.458%, (LIBOR 3M +
1.180%), 1/20/2022b

    256,461  

537,000

 

2.750%, 5/19/2022

    544,725  

155,000

 

4.875%, 11/1/2022

    166,214  

485,000

 

3.125%, 1/23/2023

    497,520  

540,000

 

4.350%, 9/8/2026

    585,430  

720,000

 

3.591%, 7/22/2028b

    759,436  

600,000

 

3.772%, 1/24/2029b

    641,237  
 

MPT Operating Partnership, LP

 

385,000

 

6.375%, 3/1/2024

    403,592  

445,000

 

4.625%, 8/1/2029

    458,350  
 

Nasdaq, Inc.

 

295,000

 

3.850%, 6/30/2026

    316,155  
 

Nationwide Building Society

 

400,000

 

3.622%, 4/26/2023b,i

    407,791  
 

New York Life Global Funding

 

354,000

 

2.300%, 6/10/2022i

    355,985  
 

Park Aerospace Holdings, Ltd.

 

350,000

 

4.500%, 3/15/2023i

    362,180  
 

PNC Bank NA

 

11,000

 

2.450%, 11/5/2020

    11,049  
 

Prudential Financial, Inc.

 

675,000

 

3.700%, 3/13/2051

    697,641  
 

Quicken Loans, Inc.

 

800,000

 

5.750%, 5/1/2025i

    825,000  
 

Realty Income Corporation

 

10,000

 

5.750%, 1/15/2021

    10,371  

475,000

 

4.125%, 10/15/2026

    523,283  
 

Regency Centers, LP

 

720,000

 

4.125%, 3/15/2028

    781,866  
 

Regions Financial Corporation

 

346,000

 

3.200%, 2/8/2021

    350,261  
 

Reinsurance Group of America, Inc.

 

510,000

 

4.700%, 9/15/2023

    551,124  

400,000

 

3.900%, 5/15/2029

    425,704  
 

Royal Bank of Canada

 

14,000

 

2.125%, 3/2/2020

    14,009  
 

Royal Bank of Scotland Group plc

 

300,000

 

6.125%, 12/15/2022

    324,610  

400,000

 

6.100%, 6/10/2023

    435,679  

300,000

 

3.875%, 9/12/2023

    309,600  

780,000

 

5.125%, 5/28/2024

    831,494  

575,000

 

4.269%, 3/22/2025b

    601,364  

475,000

 

4.445%, 5/8/2030b

    508,743  
 

Santander UK Group Holdings plc

 

380,000

 

2.875%, 10/16/2020

    381,192  
 

Simon Property Group, LP

 

15,000

 

2.500%, 7/15/2021

    15,116  

400,000

 

2.750%, 2/1/2023

    408,111  

448,000

 

4.250%, 11/30/2046

    517,630  
 

SITE Centers Corporation

 

162,000

 

4.625%, 7/15/2022

    169,336  
 

Societe Generale SA

 

354,000

 

4.750%, 11/24/2025i

    380,289  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

190


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Financials (1.5%) - continued

 
 

Sumitomo Mitsui Financial Group, Inc.

 

$426,000

 

2.784%, 7/12/2022

    $432,342  

360,000

 

3.102%, 1/17/2023

    369,159  

336,000

 

3.010%, 10/19/2026

    345,328  
 

SunTrust Banks, Inc.

 

10,000

 

2.900%, 3/3/2021

    10,104  
 

Synchrony Financial

 

155,000

 

4.250%, 8/15/2024

    163,536  

700,000

 

3.950%, 12/1/2027

    717,722  
 

UBS Group Funding Jersey, Ltd.

 

336,000

 

4.125%, 9/24/2025i

    363,051  
 

UBS Group Funding Switzerland AG

 

450,000

 

3.491%, 5/23/2023i

    461,956  
 

Ventas Realty, LP

 

500,000

 

3.100%, 1/15/2023

    512,913  

595,000

 

4.000%, 3/1/2028

    638,703  
 

Voya Financial, Inc.

 

825,000

 

3.125%, 7/15/2024

    851,804  
 

Wells Fargo & Company

 

450,000

 

2.550%, 12/7/2020

    452,404  

8,000

 

2.100%, 7/26/2021

    7,998  

540,000

 

2.625%, 7/22/2022

    546,008  

550,000

 

3.069%, 1/24/2023

    560,268  

14,000

 

3.393%, (LIBOR 3M + 1.110%), 1/24/2023b

    14,154  

448,000

 

3.450%, 2/13/2023

    462,781  

750,000

 

4.125%, 8/15/2023

    795,790  

10,000

 

3.486%, (LIBOR 3M +
1.230%), 10/31/2023b

    10,151  

350,000

 

3.000%, 2/19/2025

    359,383  

450,000

 

3.000%, 4/22/2026

    461,502  

450,000

 

3.000%, 10/23/2026

    461,499  

810,000

 

4.900%, 11/17/2045

    969,572  
 

Welltower, Inc.

 

180,000

 

3.950%, 9/1/2023

    190,677  
 

ZB NA

 

575,000

 

3.500%, 8/27/2021

    587,536  
 

 

 
 

Total

    100,391,505  
 

 

 

Foreign Government (<0.1%)

 
 

Kommunalbanken AS

 

335,000

 

1.500%, 10/22/2019i

    334,869  
 

 

 
 

Total

    334,869  
 

 

 

Mortgage-Backed Securities (4.9%)

 
 

Federal National Mortgage Association

 

1,455,554

 

3.230%, 11/1/2020

    1,461,564  
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

22,050,000

 

2.500%, 10/1/2034e

    22,239,923  

36,540,000

 

3.500%, 10/1/2034e

    37,793,208  

73,669,000

 

3.000%, 10/1/2034e

    75,312,164  
 

Federal National Mortgage Association Conventional 30-Yr. Pass Through

 

56,526

 

4.165%, (LIBOR 12M +
1.540%), 7/1/2043b

    58,275  

145,718

 

4.321%, (LIBOR 12M +
1.550%), 7/1/2043b

    150,980  

17,468

 

4.082%, (LIBOR 12M +
1.530%), 8/1/2043b

    18,020  

66,200,000

 

3.500%, 10/1/2049e

    67,919,648  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Mortgage-Backed Securities (4.9%) - continued

 

$108,761,000

 

3.000%, 10/1/2049e

    $110,417,906  
 

 

 
 

Total

    315,371,688  
 

 

 

Technology (0.3%)

 
 

Apple, Inc.

 

11,000

 

2.400%, 1/13/2023

    11,180  

300,000

 

3.000%, 2/9/2024

    312,329  

475,000

 

3.200%, 5/11/2027

    503,819  

640,000

 

3.000%, 6/20/2027

    673,088  

960,000

 

3.000%, 11/13/2027

    1,008,727  

835,000

 

3.750%, 9/12/2047

    929,984  
 

Applied Materials, Inc.

 

240,000

 

3.300%, 4/1/2027

    255,427  
 

Avnet, Inc.

 

335,000

 

3.750%, 12/1/2021

    341,890  
 

Broadcom Corporation

 

391,000

 

3.875%, 1/15/2027

    393,021  

500,000

 

3.500%, 1/15/2028

    487,818  
 

CommScope Technologies Finance, LLC

 

745,000

 

6.000%, 6/15/2025i

    672,362  
 

Dell International, LLC/EMC Corporation

 

350,000

 

4.000%, 7/15/2024i

    366,090  
 

Diamond 1 Finance Corporation

 

604,000

 

5.450%, 6/15/2023i

    657,710  

1,050,000

 

6.020%, 6/15/2026i

    1,184,072  
 

Diamond Sports Group, LLC

 

770,000

 

6.625%, 8/15/2027g,i

    797,758  
 

Equinix, Inc.

 

740,000

 

5.750%, 1/1/2025

    770,562  
 

Harland Clarke Holdings Corporation

 

515,000

 

8.375%, 8/15/2022i

    422,300  
 

Hewlett Packard Enterprise Company

 

17,000

 

3.600%, 10/15/2020

    17,219  

600,000

 

3.009%, (LIBOR 3M +
0.720%), 10/5/2021b

    600,055  

140,000

 

4.400%, 10/15/2022

    148,306  
 

Inception Merger Sub, Inc.

 

600,000

 

8.625%, 11/15/2024g,i

    551,940  
 

Intel Corporation

 

10,000

 

3.100%, 7/29/2022

    10,350  
 

Iron Mountain, Inc.

 

320,000

 

4.875%, 9/15/2029i

    324,896  
 

Marvell Technology Group, Ltd.

 

350,000

 

4.200%, 6/22/2023

    366,876  

475,000

 

4.875%, 6/22/2028

    527,653  
 

Microsoft Corporation

 

700,000

 

4.750%, 11/3/2055

    944,046  

14,000

 

2.400%, 2/6/2022

    14,196  

700,000

 

4.200%, 11/3/2035

    837,515  

1,690,000

 

3.700%, 8/8/2046

    1,936,925  
 

NCR Corporation

 

510,000

 

6.125%, 9/1/2029i

    537,565  
 

NXP BV/NXP Funding, LLC

 

700,000

 

4.875%, 3/1/2024i

    759,111  
 

Oracle Corporation

 

10,000

 

2.500%, 5/15/2022

    10,126  

332,000

 

2.400%, 9/15/2023

    336,428  

1,060,000

 

2.950%, 5/15/2025

    1,102,629  

600,000

 

3.850%, 7/15/2036

    662,292  
 

Plantronics, Inc.

 

630,000

 

5.500%, 5/31/2023i

    631,575  
 

SS&C Technologies, Inc.

 

600,000

 

5.500%, 9/30/2027i

    627,015  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

191


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Technology (0.3%) - continued

 
 

Texas Instruments, Inc.

 

$580,000

 

4.150%, 5/15/2048

    $711,303  
 

Tyco Electronics Group SA

 

120,000

 

3.450%, 8/1/2024

    125,323  

240,000

 

3.125%, 8/15/2027

    246,986  
 

 

 
 

Total

    21,818,467  
 

 

 

Transportation (0.1%)

 
 

Air Canada Pass Through Trust

 

101,648

 

3.875%, 3/15/2023i

    103,000  
 

Air Lease Corporation

 

180,000

 

3.500%, 1/15/2022

    184,619  
 

Boeing Company

 

850,000

 

3.600%, 5/1/2034

    922,171  
 

Burlington Northern Santa Fe, LLC

 

355,000

 

5.750%, 5/1/2040

    477,833  

1,050,000

 

5.050%, 3/1/2041

    1,313,998  

385,000

 

4.450%, 3/15/2043

    457,529  
 

CSX Corporation

 

115,000

 

3.700%, 11/1/2023

    121,624  

700,000

 

3.350%, 9/15/2049

    684,372  
 

Delta Air Lines, Inc.

 

275,000

 

2.875%, 3/13/2020

    275,588  
 

Hertz Corporation

 

410,000

 

5.500%, 10/15/2024i

    410,615  
 

Penske Truck Leasing Company, LP

 

600,000

 

3.375%, 2/1/2022i

    612,384  
 

United Airlines Pass Through Trust

 

10,000

 

3.700%, 12/1/2022

    10,276  
 

United Continental Holdings, Inc.

 

790,000

 

4.875%, 1/15/2025

    831,159  
 

XPO Logistics, Inc.

 

517,000

 

6.750%, 8/15/2024i

    559,652  
 

 

 
 

Total

    6,964,820  
 

 

 

U.S. Government & Agencies (5.5%)

 
 

U.S. Treasury Bonds

 

1,500,000

 

2.375%, 5/15/2027

    1,580,566  

20,630,000

 

2.250%, 11/15/2027

    21,581,720  

19,500,000

 

2.875%, 5/15/2028

    21,405,820  

5,830,000

 

5.250%, 11/15/2028

    7,595,625  

2,050,000

 

4.375%, 5/15/2040

    2,885,215  

11,465,000

 

3.000%, 5/15/2042

    13,415,841  

25,124,000

 

2.500%, 5/15/2046

    27,078,961  

4,000,000

 

2.750%, 8/15/2047

    4,530,938  

16,800,000

 

2.875%, 5/15/2049

    19,610,062  
 

U.S. Treasury Bonds, TIPS

 

108,886

 

2.375%, 1/15/2025

    121,237  

71,220

 

2.125%, 2/15/2040

    94,776  
 

U.S. Treasury Notes

 

6,125,000

 

1.500%, 10/31/2019

    6,121,999  

300,000

 

1.750%, 11/30/2019

    299,847  

1,900,000

 

2.250%, 3/31/2020

    1,903,414  

300,000

 

1.875%, 12/15/2020

    300,270  

500,000

 

2.500%, 2/28/2021

    505,117  

1,500,000

 

1.375%, 5/31/2021

    1,491,563  

22,640,000

 

1.125%, 8/31/2021

    22,410,062  

1,700,000

 

2.500%, 1/15/2022

    1,732,938  

8,320,000

 

1.875%, 7/31/2022

    8,383,050  

8,190,000

 

2.000%, 11/30/2022

    8,293,975  

11,580,000

 

2.500%, 3/31/2023

    11,945,494  

16,710,000

 

2.500%, 1/31/2024

    17,358,165  

2,335,000

 

2.125%, 7/31/2024

    2,395,199  

95,000

 

2.250%, 11/15/2024

    98,132  

16,270,000

 

2.125%, 11/30/2024

    16,711,705  
Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

U.S. Government & Agencies (5.5%) - continued

 

$45,500,000

 

2.875%, 5/31/2025

    $48,638,789  

14,160,000

 

2.625%, 1/31/2026

    15,018,450  

67,460,000

 

2.500%, 2/28/2026

    71,083,340  
 

 

 
 

Total

    354,592,270  
 

 

 

Utilities (0.5%)

 
 

Alabama Power Company

 

7,000

 

2.450%, 3/30/2022

    7,083  
 

Ameren Corporation

 

10,000

 

2.700%, 11/15/2020

    10,052  
 

Ameren Illinois Company

 

450,000

 

4.500%, 3/15/2049

    553,611  
 

American Electric Power Company, Inc.

 

718,000

 

2.950%, 12/15/2022

    732,532  
 

Appalachian Power Company

 

238,000

 

3.300%, 6/1/2027

    248,888  
 

Berkshire Hathaway Energy Company

 

375,000

 

4.500%, 2/1/2045

    445,258  
 

Calpine Corporation

 

410,000

 

5.375%, 1/15/2023

    415,125  

390,000

 

5.875%, 1/15/2024i

    398,775  
 

CenterPoint Energy, Inc.

 

185,000

 

3.850%, 2/1/2024

    195,225  

700,000

 

2.500%, 9/1/2024

    699,101  

420,000

 

4.250%, 11/1/2028

    461,635  
 

CMS Energy Corporation

 

336,000

 

2.950%, 2/15/2027

    338,843  
 

Commonwealth Edison Company

 

355,000

 

3.700%, 3/1/2045

    383,131  

180,000

 

4.350%, 11/15/2045

    214,427  
 

Consolidated Edison Company of New York, Inc.

 

1,150,000

 

4.125%, 5/15/2049

    1,316,186  
 

Consolidated Edison, Inc.

 

7,000

 

2.000%, 3/15/2020

    6,996  

168,000

 

4.500%, 12/1/2045

    199,401  
 

Consumers Energy Company

 

550,000

 

4.350%, 4/15/2049

    675,302  
 

DTE Electric Company

 

265,000

 

3.700%, 3/15/2045

    288,493  

360,000

 

3.700%, 6/1/2046

    386,904  
 

Duke Energy Carolinas, LLC

 

840,000

 

3.700%, 12/1/2047

    912,572  
 

Duke Energy Corporation

 

448,000

 

3.750%, 9/1/2046

    462,026  
 

Duke Energy Florida, LLC

 

320,000

 

3.200%, 1/15/2027

    335,556  
 

Duke Energy Indiana, LLC

 

450,000

 

3.750%, 5/15/2046

    483,780  
 

Edison International

 

200,000

 

2.950%, 3/15/2023

    200,430  

1,350,000

 

5.750%, 6/15/2027

    1,517,279  
 

Energy Transfer Operating, LP

 

580,000

 

5.200%, 2/1/2022

    612,090  
 

Eversource Energy

 

530,000

 

2.500%, 3/15/2021

    531,659  
 

Exelon Corporation

 

240,000

 

5.100%, 6/15/2045

    297,978  

336,000

 

4.450%, 4/15/2046

    380,912  
 

Exelon Generation Company, LLC

 

308,000

 

5.200%, 10/1/2019

    308,000  
 

FirstEnergy Corporation

 

150,000

 

2.850%, 7/15/2022

    152,283  

845,000

 

4.850%, 7/15/2047

    1,004,270  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

192


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (17.7%)   Value

 

 

Utilities (0.5%) - continued

 
 

Fortis, Inc.

 

$5,000

 

2.100%, 10/4/2021

    $4,983  
 

ITC Holdings Corporation

 

67,000

 

4.050%, 7/1/2023

    70,527  

224,000

 

5.300%, 7/1/2043

    285,339  
 

MidAmerican Energy Holdings Company

 

672,000

 

6.500%, 9/15/2037

    945,326  
 

Mississippi Power Company

 

340,000

 

3.950%, 3/30/2028

    370,858  
 

Monongahela Power Company

 

275,000

 

5.400%, 12/15/2043i

    368,904  
 

National Rural Utilities Cooperative Finance Corporation

 

295,000

 

3.900%, 11/1/2028

    328,693  

575,000

 

3.700%, 3/15/2029

    635,660  
 

NextEra Energy Operating Partners, LP

 

750,000

 

3.875%, 10/15/2026i

    750,000  
 

NiSource Finance Corporation

 

236,000

 

3.490%, 5/15/2027

    247,598  

615,000

 

5.650%, 2/1/2045

    792,997  
 

Oncor Electric Delivery Company, LLC

 

944,000

 

3.750%, 4/1/2045

    1,041,023  
 

Pacific Gas and Electric Company

 

350,000

 

3.300%, 12/1/2027f,n

    346,500  

350,000

 

3.950%, 12/1/2047f,n

    338,625  
 

PPL Capital Funding, Inc.

 

236,000

 

3.400%, 6/1/2023

    242,912  

515,000

 

5.000%, 3/15/2044

    601,557  
 

PPL Electric Utilities Corporation

 

354,000

 

3.950%, 6/1/2047

    402,441  
 

PSEG Power, LLC

 

9,000

 

3.000%, 6/15/2021

    9,091  
 

Public Service Electric & Gas Company

 

600,000

 

3.000%, 5/15/2027

    624,897  
 

San Diego Gas and Electric Company

 

600,000

 

4.150%, 5/15/2048

    683,676  
 

South Carolina Electric & Gas Company

 

700,000

 

5.100%, 6/1/2065

    935,669  
 

Southern California Edison Company

 

485,000

 

4.000%, 4/1/2047

    521,740  
 

Southern Company

 

6,000

 

2.350%, 7/1/2021

    6,018  

320,000

 

2.950%, 7/1/2023

    326,622  

575,000

 

3.250%, 7/1/2026

    594,068  

450,000

 

4.400%, 7/1/2046

    502,575  
 

Southern Company Gas Capital Corporation

 

590,000

 

4.400%, 5/30/2047

    666,349  
 

Southwestern Electric Power Company

 

180,000

 

3.900%, 4/1/2045

    190,139  
 

TerraForm Power Operating, LLC

 

835,000

 

5.000%, 1/31/2028i

    868,400  
 

Virginia Electric and Power Company

 
425,000  

4.600%, 12/1/2048

    522,130  
 

 

 
  Total     29,401,120  
 

 

 
 
 

 

 
  Total Long-Term Fixed Income
(cost $1,102,761,453)
    1,145,783,275  
 

 

 
Shares   Collateral Held for Securities Loaned
(0.4%)
  Value

 

 
27,189,415  

Thrivent Cash Management Trust

    $27,189,415  
 

 

 
  Total Collateral Held for Securities Loaned
(cost $27,189,415)
    27,189,415  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (11.4%)   Value
 

Federal Home Loan Bank Discount Notes

 

600,000

 

2.190%, 10/2/2019o,p

    599,969  

2,800,000

 

2.010%, 10/7/2019o,p

    2,799,123  

37,100,000

 

1.950%, 10/16/2019o,p

    37,070,938  

1,200,000

 

1.995%, 10/30/2019o,p

    1,198,183  

4,900,000

 

1.980%, 11/5/2019o,p

    4,891,044  

400,000

 

1.960%, 11/8/2019o,p

    399,206  

3,500,000

 

1.910%, 12/5/2019o,p

    3,488,183  
 

Federal National Mortgage Association Discount Notes

 

200,000

 

1.960%, 10/18/2019o,p

    199,822  
 

Thrivent Core Short-Term Reserve Fund

 

68,531,906

 

2.230%

    685,319,063  
 

U.S. Treasury Bills

 

150,000

 

1.916%, 10/17/2019o,q

    149,881  

860,000

 

1.921%, 11/29/2019o,q

    857,459  

200,000

 

1.850%, 2/13/2020o,q

    198,667  
 

 

 
  Total Short-Term Investments
(cost $737,169,278)
    737,171,538  
 

 

 
  Total Investments
(cost $5,963,516,949) 105.2%
    $6,802,066,322  
 

 

 
  Other Assets and Liabilities, Net (5.2%)     (337,493,593
 

 

 
  Total Net Assets 100.0%     $6,464,572,729  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

193


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

a

The stated interest rate represents the weighted average of all contracts within the bank loan facility.

b

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

c

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

d

All or a portion of the loan is unfunded.

e

Denotes investments purchased on a when-issued or delayed delivery basis.

f

In bankruptcy. Interest is not being accrued.

g

All or a portion of the security is on loan.

h

Non-income producing security.

i

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $140,788,669 or 2.2% of total net assets.

j

Denotes interest only security. Interest only securities represent the right to receive monthly interest payments on an underlying pool of mortgages or assets. The principal shown is the outstanding par amount of the pool as of the end of the period. The actual effective yield of the security is different than the stated coupon rate.

k

All or a portion of the security is insured or guaranteed.

l

Denotes step coupon securities. Step coupon securities pay an initial coupon rate for the first period and then different coupon rates for following periods. The rate shown is as of September 30, 2019.

m

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

n

Defaulted security. Interest is not being accrued.

o

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

p

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

q

At September 30, 2019, $636,694 of investments were segregated to cover exposure to a counterparty for margin on open mortgage-backed security transactions.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Moderately Aggressive Allocation Portfolio as of September 30, 2019:

Securities Lending Transactions

Common Stock

   $ 24,442,349  

Long-Term Fixed Income

     1,674,173  

Total lending

   $ 26,116,522  
Gross amount payable upon return of collateral for securities loaned    $ 27,189,415  

Net amounts due to counterparty

     $1,072,893  

Definitions:

ACES   -    Alternative Credit Enhancement Securities
ADR   -    American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
CLO   -    Collateralized Loan Obligation
ETF   -    Exchange Traded Fund
GDR   -    Global Depository Receipts, which are certificates for shares of an underlying foreign security’s shares held by an issuing depository bank from more than one country.
REMIC   -    Real Estate Mortgage Investment Conduit
REIT   -    Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Ser.   -    Series
SPDR   -    S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.
TIPS   -    Treasury Inflation Protected Security

 

Reference Rate Index:
12 MTA   -    12 Month Treasury Average
CMT 3M   -    Constant Maturity Treasury Yield 3 Month
LIBOR 1W   -    ICE Libor USD Rate 1 Week
LIBOR 1M   -    ICE Libor USD Rate 1 Month
LIBOR 2M   -    ICE Libor USD Rate 2 Month
LIBOR 3M   -    ICE Libor USD Rate 3 Month
LIBOR 12M   -    ICE Libor USD Rate 12 Month
PRIME   -    Federal Reserve Prime Loan Rate
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

194


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Moderately Aggressive Allocation Portfolio’s assets carried at fair value.

 

Investments in Securities    Total      Level 1      Level 2      Level 3  

Bank Loans

           

Basic Materials

     3,556,004               3,124,265        431,739  

Capital Goods

     4,854,668               4,854,668         

Communications Services

     14,196,207               11,165,875        3,030,332  

Consumer Cyclical

     7,806,089               6,867,699        938,390  

Consumer Non-Cyclical

     11,267,037               11,267,037         

Energy

     4,485,186               4,098,247        386,939  

Financials

     8,119,121               7,566,492        552,629  

Technology

     3,623,017               3,623,017         

Utilities

     1,320,011               1,083,325        236,686  

Registered Investment Companies

           

Unaffiliated

     55,329,063        55,329,063                

Affiliated

     2,256,307,273        2,256,307,273                

Common Stock

           

Communications Services

     105,042,541        103,977,527        1,065,014         

Consumer Discretionary

     261,883,579        259,041,335        2,842,244         

Consumer Staples

     74,458,068        71,905,233        2,552,835         

Energy

     32,708,951        31,780,325        928,626         

Financials

     278,073,994        272,480,782        5,593,212         

Health Care

     273,601,303        270,972,293        2,629,010         

Industrials

     288,377,659        283,961,561        4,416,098         

Information Technology

     533,356,348        530,043,281        3,313,067         

Materials

     59,047,125        57,578,136        1,468,983        6  

Real Estate

     85,294,108        83,478,350        1,815,758         

Utilities

     16,070,615        15,555,208        515,407         

Long-Term Fixed Income

           

Asset-Backed Securities

     40,823,702               40,823,702         

Basic Materials

     13,087,845               13,087,845         

Capital Goods

     20,517,051               20,517,051         

Collateralized Mortgage Obligations

     35,961,613               35,961,613         

Commercial Mortgage-Backed Securities

     43,646,384               43,646,384         

Communications Services

     37,801,755               37,801,755         

Consumer Cyclical

     33,228,195               33,228,195         

Consumer Non-Cyclical

     52,559,352               52,559,352         

Energy

     39,282,639               39,282,639         

Financials

     100,391,505               100,391,505         

Foreign Government

     334,869               334,869         

Mortgage-Backed Securities

     315,371,688               315,371,688         

Technology

     21,818,467               21,818,467         

Transportation

     6,964,820               6,964,820         

U.S. Government & Agencies

     354,592,270               354,592,270         

Utilities

     29,401,120               29,401,120         

Short-Term Investments

     51,852,475               51,852,475         

Subtotal Investments in Securities

     $5,576,413,717        $4,292,410,367        $1,278,426,629        $5,576,721  

Other Investments *

         Total           

Affiliated Registered Investment Companies

     513,144,127           

Affiliated Short-Term Investments

     685,319,063           

Collateral Held for Securities Loaned

     27,189,415           

Subtotal Other Investments

     $1,225,652,605           
                   

Total Investments at Value

     $6,802,066,322           

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

195


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Other Financial Instruments      Total        Level 1        Level 2      Level 3  

Asset Derivatives

                 

Futures Contracts

       15,013,790          15,013,790                  

Total Asset Derivatives

       $15,013,790          $15,013,790          $–        $–  

Liability Derivatives

                 

Futures Contracts

       9,418,549          9,418,549                  

Total Liability Derivatives

       $9,418,549          $9,418,549          $–        $–  

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

The following table presents Moderately Aggressive Allocation Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $50,646,468 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
     Expiration
Date
     Notional Principal
Amount
     Value and
Unrealized
 

CBOT 2-Yr. U.S. Treasury Note

     491        December 2019        $106,053,673        ($243,173

CBOT U.S. Long Bond

     295        December 2019        48,279,558        (397,371

CME E-mini S&P 500 Index

     5,351        December 2019        803,894,221        (6,996,546

ICE mini MSCI EAFE Index

     1,120        December 2019        106,824,489        (514,088

ICE US mini MSCI Emerging Markets Index

     1,069        December 2019        54,818,926        (1,267,371

Total Futures Long Contracts

                       $1,119,870,867        ($9,418,549

CBOT 10-Yr. U.S. Treasury Note

     (366      December 2019        ($48,102,271      $407,896  

CBOT 5-Yr. U.S. Treasury Note

     (198      December 2019        (23,692,866      101,475  

CME E-mini NASDAQ 100 Index

     (1,234      December 2019        (194,818,156      3,042,216  

CME E-mini Russell 2000 Index

     (2,300      December 2019        (180,757,899      5,382,899  

CME E-mini S&P Mid-Cap 400 Index

     (2,135      December 2019        (419,550,247      5,787,247  

CME Ultra Long Term U.S. Treasury Bond

     (13      December 2019        (2,546,535      51,754  

Ultra 10-Yr. U.S. Treasury Note

     (100      December 2019        (14,480,928      240,303  

Total Futures Short Contracts

                       ($883,948,902      $15,013,790  

Total Futures Contracts

                       $235,921,965        $5,595,241  

 

Reference Description:

CBOT

    -      Chicago Board of Trade

CME

    -      Chicago Mercantile Exchange

EAFE

    -      Europe, Australasia and Far East

ICE

    -      Intercontinental Exchange

MSCI

    -      Morgan Stanley Capital International

NASDAQ

    -      National Association of Securities Dealers Automated Quotations

S&P

    -      Standard & Poor’s

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

196


MODERATELY AGGRESSIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Moderately Aggressive Allocation

Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Registered Investment Companies

                 

Core Emerging Markets Debt

     $58,597        $10,633        $–        $73,993        7,543        1.1%  

Core International Equity

     186,147                      204,870        21,772        3.2  

Core Low Volatility Equity

     188,652        12               234,281        19,330        3.6  

Global Stock Fund

     332,527        27,530               376,375        29,254        5.8  

High Yield

     53,897        2,450               60,099        12,692        0.9  

Income

     159,099        4,383               178,961        16,918        2.8  

International Allocation

     476,950        16,665               530,561        55,988        8.2  

Large Cap Value

     393,944        27,098               454,437        25,537        7.1  

Limited Maturity Bond

     96,492        1,950               100,449        10,122        1.6  

Mid Cap Stock

     382,126        43,636               452,786        24,776        7.0  

Small Cap Stock

     88,105        12,386               102,638        5,774        1.6  

Total Affiliated Registered Investment Companies

     2,416,536                          2,769,450                 42.9  

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     458,103        922,264        695,048        685,319        68,532        10.6  

Total Affiliated Short-Term Investments

     458,103                          685,319                 10.6  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     47,513        372,995        393,319        27,189        27,189        0.4  

Total Collateral Held for Securities Loaned

     47,513                          27,189                 0.4  

Total Value

     $2,922,152                          $3,481,958                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
    

Income Earned
1/1/2019

- 9/30/2019

 

Affiliated Registered Investment Companies

           

Core Emerging Markets Debt

     $–        $4,763               $2,343  

Core International Equity

            18,724                

Core Low Volatility Equity

            45,617        12         

Global Stock

            16,318        22,107        5,423  

High Yield

            3,752               2,449  

Income

            15,480               4,371  

International Allocation

            36,946        4,423        12,242  

Large Cap Value

            33,395        20,214        6,884  

Limited Maturity Bond

            2,008               1,951  

Mid Cap Stock

            27,024        40,892        2,745  

Small Cap Stock

            2,147        11,979        407  

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

                          8,281  

Total Income from Affiliated Investments

                                $47,096  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          122  

Total Affiliated Income from Securities Loaned, Net

                                $122  

Total Value

     $–        $206,174        $99,627           

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

197


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (2.3%)a   Value  

 

 

Basic Materials (0.1%)

 
 

Arch Coal, Inc., Term Loan

 

$1,043,939

 

4.794%, (LIBOR 1M + 2.750%), 3/7/2024b

    $1,030,024  
 

Ball Metalpack Finco, LLC, Term Loan

 

508,563

 

6.624%, (LIBOR 3M + 4.500%), 7/31/2025b

    476,777  
 

Big River Steel, LLC, Term Loan

 

803,600

 

7.104%, (LIBOR 3M + 5.000%), 8/23/2023b,c

    795,564  
 

Hexion, Inc., Term Loan

 

440,000

 

5.820%, (LIBOR 3M + 3.500%), 7/1/2026b

    438,350  
 

MRC Global (US), Inc., Term Loan

 

935,714

 

5.044%, (LIBOR 1M + 3.000%), 9/22/2024b

    935,714  
 

Pixelle Specialty Solutions, LLC, Term Loan

 

1,235,663

 

8.044%, (LIBOR 1M + 6.000%), 10/31/2024b

    1,218,672  
 

Starfruit US Holdco, LLC, Term Loan

 
776,100  

5.292%, (LIBOR 1M + 3.250%), 10/1/2025b,d,e

    759,026  
 

 

 
  Total     5,654,127  
 

 

 
Capital Goods (0.3%)  
 

Advanced Disposal Services, Inc., Term Loan

 

728,672

 

4.197%, (LIBOR 1W + 2.250%), 11/10/2023b

    730,589  
 

BWAY Holding Company, Term Loan

 

2,665,909

 

5.590%, (LIBOR 3M + 3.250%), 4/3/2024b

    2,607,419  
 

Flex Acquisition Company, Inc. Term Loan

 

3,556,914

 

5.569%, (LIBOR 3M + 3.250%), 6/29/2025b

    3,420,186  
 

GFL Environmental, Inc., Term Loan

 

1,370,014

 

5.044%, (LIBOR 1M + 3.000%), 5/31/2025b

    1,357,780  
 

Navistar, Inc., Term Loan

 

1,516,900

 

5.530%, (LIBOR 1M + 3.500%), 11/6/2024b

    1,507,890  
 

Sotera Health Holdings, LLC, Term Loan

 

2,806,757

 

5.044%, (LIBOR 1M + 3.000%), 5/15/2022b

    2,771,672  
 

TransDigm, Inc., Term Loan

 

1,129,268

 

4.544%, (LIBOR 1M + 2.500%), 6/9/2023b

    1,125,541  
 

Vertiv Group Corporation, Term Loan

 
2,343,686  

6.044%, (LIBOR 1M + 4.000%), 11/15/2023b

    2,226,502  
 

 

 
  Total     15,747,579  
 

 

 
Communications Services (0.5%)  
 

Altice France SA, Term Loan

 

630,487

 

4.794%, (LIBOR 1M + 2.750%), 7/31/2025b

    614,133  
 

CenturyLink, Inc., Term Loan

 

3,836,391

 

4.794%, (LIBOR 1M + 2.750%), 1/31/2025b

    3,808,692  
Principal
Amount
  Bank Loans (2.3%)a   Value  

 

 

Communications Services (0.5%) - continued

 
 

Charter Communications Operating, LLC, Term Loan

 

$1,616,213

 

4.050%, (LIBOR 1M + 2.000%), 4/30/2025b

    $1,625,102  
 

Diamond Sports Group, LLC, Term Loan

 

985,000

 

5.300%, (LIBOR 1M + 3.250%), 8/24/2026b

    989,925  
 

Frontier Communications Corporation, Term Loan

 

2,201,695

 

5.800%, (LIBOR 1M + 3.750%), 6/15/2024b

    2,194,628  
 

HCP Acquisition, LLC, Term Loan

 

978,726

 

5.044%, (LIBOR 1M + 3.000%), 5/16/2024b

    977,013  
 

Intelsat Jackson Holdings SA, Term Loan

 

1,315,000

 

5.804%, (LIBOR 1M + 3.750%), 11/27/2023b

    1,317,880  
 

Liberty Cablevision of Puerto Rico, LLC, Term Loan

 

3,495,000

 

5.528%, (LIBOR 1M + 3.500%), 1/7/2022b,c

    3,481,894  

278,243

 

8.778%, (LIBOR 1M + 6.750%), 7/7/2023b,c

    274,070  
 

Mediacom Illinois, LLC, Term Loan

 

551,600

 

3.680%, (LIBOR 1W + 1.750%), 2/15/2024b

    552,290  
 

NEP Group, Inc., Term Loan

 

1,498,675

 

5.294%, (LIBOR 1M + 3.250%), 10/20/2025b

    1,468,387  

140,000

 

9.044%, (LIBOR 1M + 7.000%), 10/19/2026b

    136,734  
 

SBA Senior Finance II, LLC, Term Loan

 

785,063

 

4.050%, (LIBOR 1M + 2.000%), 4/11/2025b

    785,094  
 

Sprint Communications, Inc., Term Loan

 

2,886,000

 

4.563%, (LIBOR 1M + 2.500%), 2/3/2024b

    2,863,460  

456,550

 

5.063%, (LIBOR 1M + 3.000%), 2/3/2024b

    454,979  
 

TNS, Inc., Term Loan

 

562,042

 

6.260%, (LIBOR 3M + 4.000%), 8/14/2022b

    553,752  
 

WideOpenWest Finance, LLC, Term Loan

 

1,073,100

 

5.294%, (LIBOR 1M + 3.250%), 8/19/2023b

    1,034,200  
 

Windstream Services, LLC, Term Loan

 
1,861,405  

10.000%, (PRIME + 5.000%), 3/30/2021b,f

    1,886,608  
 

 

 
  Total     25,018,841  
 

 

 
Consumer Cyclical (0.3%)  
 

Cengage Learning, Inc., Term Loan

 

1,589,579

 

6.294%, (LIBOR 1M + 4.250%), 6/7/2023b

    1,500,833  
 

Four Seasons Hotels, Ltd., Term Loan

 

923,384

 

4.044%, (LIBOR 1M + 2.000%), 11/30/2023b

    927,363  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

198


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (2.3%)a   Value  

 

 

Consumer Cyclical (0.3%) - continued

 
 

Golden Entertainment, Inc., Term Loan

 

$1,992,725

 

5.060%, (LIBOR 1M + 3.000%), 10/20/2024b,c

    $1,997,707  
 

Men’s Warehouse, Inc., Term Loan

 

996,894

 

5.350%, (LIBOR 1M + 3.250%), 4/9/2025b,c

    837,391  
 

Mohegan Gaming and Entertainment, Term Loan

 

1,444,508

 

6.044%, (LIBOR 1M + 4.000%), 10/13/2023b

    1,334,769  
 

Penn National Gaming, Inc., Term Loan

 

1,161,225

 

4.294%, (LIBOR 1M + 2.250%), 10/15/2025b

    1,166,102  
 

Scientific Games International, Inc., Term Loan

 

3,821,552

 

4.876%, (LIBOR 1M + 2.750%), 8/14/2024b

    3,785,744  
 

Staples, Inc., Term Loan

 

254,363

 

6.623%, (LIBOR 3M + 4.500%), 9/12/2024b

    250,972  

758,100

 

7.123%, (LIBOR 3M + 5.000%), 4/12/2026b

    746,888  
 

Stars Group Holdings BV, Term Loan

 

2,232,891

 

5.604%, (LIBOR 3M + 3.500%), 7/10/2025b

    2,241,264  
 

Tenneco, Inc., Term Loan

 

1,583,037

 

5.044%, (LIBOR 1M + 3.000%), 10/1/2025b

    1,484,098  
 

Wyndham Hotels & Resorts, Inc., Term Loan

 
638,550  

3.794%, (LIBOR 1M + 1.750%), 5/30/2025b

    641,302  
 

 

 
  Total     16,914,433  
 

 

 
Consumer Non-Cyclical (0.4%)  
 

Air Medical Group Holdings, Inc., Term Loan

 

4,221,812

 

5.307%, (LIBOR 1M + 3.250%), 4/28/2022b

    3,943,004  
 

Amneal Pharmaceuticals, LLC, Term Loan

 

1,041,569

 

5.563%, (LIBOR 1M + 3.500%), 5/4/2025b

    885,333  
 

Bausch Health Companies, Inc., Term Loan

 

1,825,975

 

5.039%, (LIBOR 1M + 3.000%), 6/1/2025b

    1,832,640  
 

Endo International plc, Term Loan

 

1,601,454

 

6.313%, (LIBOR 1M + 4.250%), 4/27/2024b

    1,454,825  
 

Energizer Holdings, Inc., Term Loan

 

1,527,788

 

4.375%, (LIBOR 1M + 2.250%), 1/2/2026b

    1,526,840  
 

JBS USA LUX SA, Term Loan

 

1,273,600

 

4.544%, (LIBOR 1M + 2.500%), 5/1/2026b

    1,278,911  
 

Mallinckrodt International Finance SA, Term Loan

 

1,502,374

 

5.175%, (LIBOR 3M + 3.000%), 2/24/2025b

    1,118,517  
Principal
Amount
  Bank Loans (2.3%)a   Value  

 

 

Consumer Non-Cyclical (0.4%) - continued

 
 

McGraw-Hill Global Education Holdings, LLC, Term Loan

 

$2,927,535

 

6.044%, (LIBOR 1M + 4.000%), 5/4/2022b

    $2,747,141  
 

MPH Acquisition Holdings, LLC, Term Loan

 

1,000,000

 

4.854%, (LIBOR 3M + 2.750%), 6/7/2023b

    951,040  
 

Ortho-Clinical Diagnostics SA, Term Loan

 

3,086,707

 

5.563%, (LIBOR 3M + 3.250%), 6/1/2025b

    2,980,987  
 

Plantronics, Inc., Term Loan

 
2,869,280  

4.544%, (LIBOR 1M + 2.500%), 7/2/2025b

    2,860,902  
 

 

 
  Total     21,580,140  
 

 

 
Energy (0.2%)  
 

BCP Raptor II, LLC, Term Loan

 

932,662

 

6.794%, (LIBOR 1M + 4.750%), 12/19/2025b

    835,507  
 

Calpine Corporation, Term Loan

 

1,141,164

 

4.610%, (LIBOR 3M + 2.500%), 1/15/2024b

    1,143,355  
 

Consolidated Energy Finance SA, Term Loan

 

671,500

 

4.547%, (LIBOR 3M + 2.500%), 5/7/2025b,c

    649,676  
 

Fieldwood Energy, LLC, Term Loan

 

879,760

 

7.506%, (LIBOR 3M + 5.250%), 4/11/2022b

    760,500  
 

HFOTCO, LLC, Term Loan

 

2,370,000

 

4.800%, (LIBOR 1M + 2.750%), 6/26/2025b

    2,362,606  
 

McDermott Technology (Americas), Inc., Term Loan

 

1,521,825

 

7.104%, (LIBOR 3M + 5.000%), 5/10/2025b

    956,847  
 

Radiate Holdco, LLC, Term Loan

 
3,089,547  

5.044%, (LIBOR 1M + 3.000%), 2/1/2024b

    3,075,489  
 

 

 
  Total     9,783,980  
 

 

 
Financials (0.3%)  
 

Avolon TLB Borrower 1 US, LLC, Term Loan

 

1,293,391

 

3.794%, (LIBOR 1M + 1.750%), 1/15/2025b

    1,297,375  
 

Digicel International Finance, Ltd., Term Loan

 

2,302,866

 

5.340%, (LIBOR 3M + 3.250%), 5/27/2024b

    1,990,068  
 

DTZ U.S. Borrower, LLC, Term Loan

 

2,257,200

 

5.294%, (LIBOR 1M + 3.250%), 8/21/2025b

    2,258,329  
 

Genworth Holdings, Inc., Term Loan

 

280,725

 

6.670%, (LIBOR 2M + 4.500%), 3/7/2023b,c

    281,427  
 

GGP Nimbus, LLC, Term Loan

 

1,826,550

 

4.544%, (LIBOR 1M + 2.500%), 8/24/2025b

    1,800,302  
 

Grizzly Finco, Term Loan

 

1,232,550

 

5.569%, (LIBOR 3M + 3.250%), 10/1/2025b

    1,221,506  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

199


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (2.3%)a     Value  

 

 

Financials (0.3%) - continued

 
 

Harland Clarke Holdings Corporation, Term Loan

 

$1,800,990

 

6.854%, (LIBOR 3M + 4.750%), 11/3/2023b

    $1,400,270  
 

MoneyGram International, Inc., Term Loan

 

847,875

 

8.044%, (LIBOR 1M + 6.000%), 6/30/2023b,c

    797,002  
 

Sable International Finance, Ltd., Term Loan

 

2,392,213

 

5.294%, (LIBOR 2M + 3.250%), 1/31/2026b

    2,400,514  
 

Trans Union, LLC, Term Loan

 

696,188

 

0.000%, (LIBOR 3M + 2.000%), 6/19/2025b

    697,928  
 

Tronox Finance, LLC, Term Loan

 
1,632,517  

4.817%, (LIBOR 1M + 2.750%), 9/22/2024b

    1,631,064  
 

 

 
  Total     15,775,785  
 

 

 
Technology (0.1%)  
 

Prime Security Services Borrower, LLC, Term Loan

 

1,000,000

 

0.000%, (LIBOR 1M + 3.250%), 9/23/2026b,d,e

    988,910  
 

Rackspace Hosting, Inc., Term Loan

 

2,691,778

 

5.287%, (LIBOR 3M + 3.000%), 11/3/2023b

    2,465,911  
 

SS&C Technologies Holdings Europe SARL, Term Loan

 

319,514

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    320,313  
 

SS&C Technologies, Inc., Term Loan

 

483,728

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    484,938  

1,118,569

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    1,122,528  
 

Western Digital Corporation, Term Loan

 
2,128,062  

3.862%, (LIBOR 1M + 1.750%), 4/29/2023b

    2,119,635  
 

 

 
  Total     7,502,235  
 

 

 
Utilities (0.1%)  
 

Core and Main, LP, Term Loan

 

913,725

 

4.863%, (LIBOR 1M + 2.750%), 8/1/2024b

    905,163  
 

EnergySolutions, LLC, Term Loan

 

735,688

 

5.854%, (LIBOR 3M + 3.750%), 5/11/2025b

    682,350  
 

Talen Energy Supply, LLC, Term Loan

 

605,000

 

5.792%, (LIBOR 1M + 3.750%), 7/8/2026b

    603,488  
 

TerraForm Power Operating, LLC, Term Loan

 
566,353  

4.044%, (LIBOR 1M + 2.000%), 11/8/2022b,c

    567,061  
 

 

 
  Total     2,758,062  
 

 

 
   
 

 

 
  Total Bank Loans
(cost $124,093,665)
    120,735,182  
 

 

 
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value  

 

 

Asset-Backed Securities (1.6%)

 
 

Access Group, Inc.

 

$532,648

 

2.518%, (LIBOR 1M + 0.500%), 2/25/2036, Ser. 2013-1, Class Ab,g

    $525,506  
 

Aimco

 

2,150,000

 

3.618%, (LIBOR 3M + 1.320%), 7/22/2032, Ser. 2019-10A, Class Ab,g

    2,149,768  
 

Ares CLO, Ltd.

 

3,000,000

 

3.703%, (LIBOR 3M + 1.400%), 10/17/2030, Ser. 2018-28RA, Class A2b,g

    2,962,359  
 

Ares XXXIIR CLO, Ltd.

 

1,500,000

 

3.098%, (LIBOR 3M + 0.940%), 5/15/2030, Ser. 2014-32RA, Class A1Ab,g

    1,479,726  
 

Benefit Street Partners CLO IV, Ltd.

 

2,200,000

 

4.028%, (LIBOR 3M + 1.750%), 1/20/2029, Ser. 2014-IVA, Class A2RRb,g

    2,198,953  
 

Betony CLO, Ltd.

 

750,000

 

3.346%, (LIBOR 3M + 1.080%), 4/30/2031, Ser. 2018-1A, Class A1b,g

    743,167  
 

Buttermilk Park CLO, Ltd.

 

5,250,000

 

3.703%, (LIBOR 3M + 1.400%), 10/15/2031, Ser. 2018-1A, Class A2b,g

    5,183,719  
 

Carlyle Global Market Strategies CLO, Ltd.

 

3,425,000

 

3.753%, (LIBOR 3M + 1.450%), 7/15/2031, Ser. 2014-5A, Class A2RRb,g

    3,382,712  
 

Carvana Auto Receivables Trust

 

150,000

 

2.340%, 6/15/2023, Ser. 2019-3A, Class A3g

    150,060  
 

CBAM, Ltd.

 

3,500,000

 

4.008%, (LIBOR 3M + 1.280%), 2/12/2030, Ser. 2019-9A, Class Ab,g

    3,503,097  
 

Colony American Finance Trust

 

3,426,144

 

2.835%, 6/15/2052, Ser. 2019-2, Class Ag

    3,489,133  
 

Commonbond Student Loan Trust

 

1,157,314

 

2.518%, (LIBOR 1M + 0.500%), 2/25/2044, Ser. 2018-AGS, Class A2b,g

    1,133,117  
 

DRB Prime Student Loan Trust

 

497,969

 

3.918%, (LIBOR 1M + 1.900%), 10/27/2031, Ser. 2015-B, Class A1b,g

    505,085  
 

Dryden Senior Loan Fund

 

3,000,000

 

3.700%, (LIBOR 3M + 1.400%), 7/18/2030, Ser. 2018-65A, Class A2b,g

    2,954,805  
 

Earnest Student Loan Program 2016-D, LLC

 

786,791

 

2.770%, 1/25/2041, Ser. 2016-D, Class A2g

    790,372  
 

Earnest Student Loan Program, LLC

 

744,704

 

3.020%, 5/25/2034, Ser. 2016-B, Class A2g

    745,632  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

200


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value  

 

 

Asset-Backed Securities (1.6%) - continued

 
 

Edlinc Student Loan Funding Trust

 

$179,389

 

5.502%, (CMT 3M + 3.150%), 10/1/2025, Ser. 2012-A, Class ATb,g

    $179,576  
 

Galaxy XX CLO, Ltd.

 

2,650,000

 

3.278%, (LIBOR 3M + 1.000%), 4/20/2031, Ser. 2015-20A, Class ARb,g

    2,623,799  
 

Golub Capital Partners, Ltd.

 

1,750,000

 

3.458%, (LIBOR 3M + 1.180%), 1/20/2031, Ser. 2015-22A, Class ARb,g

    1,735,578  

2,569,000

 

3.478%, (LIBOR 3M + 1.200%), 1/20/2031, Ser. 2015-23A, Class ARb,g

    2,557,429  
 

Goodgreen Trust

 

3,173,265

 

3.860%, 10/15/2054, Ser. 2019-1A, Class Ag

    3,360,604  
 

Home Partners of America Trust

 

3,982,559

 

2.908%, 9/17/2039, Ser. 2019-1, Class Ag

    4,047,275  

4,000,000

 

2.703%, 10/19/2039, Ser. 2019-2, Class Ag

    4,012,909  
 

Laurel Road Prime Student Loan Trust

 

1,729,254

 

2.810%, 11/25/2042, Ser. 2017-C, Class A2Bg

    1,750,754  
 

Lendmark Funding Trust

 

1,400,000

 

2.800%, 5/20/2026, Ser. 2017-2A, Class Ag

    1,399,469  
 

Madison Park Funding XIV, Ltd.

 

2,075,000

 

3.678%, (LIBOR 3M + 1.400%), 10/22/2030, Ser. 2014-14A, Class A2RRb,g

    2,048,760  
 

Magnetite XII, Ltd.

 

2,600,000

 

3.403%, (LIBOR 3M + 1.100%), 10/15/2031, Ser. 2015-12A, Class ARRb,g

    2,592,026  
 

Mountain View CLO, Ltd.

 

1,825,000

 

3.423%, (LIBOR 3M + 1.120%), 7/15/2031, Ser. 2015-9A, Class A1Rb,g

    1,806,051  
 

National Collegiate Trust

 

1,489,450

 

2.313%, (LIBOR 1M + 0.295%), 5/25/2031, Ser. 2007-A, Class Ab,g

    1,447,068  
 

Neuberger Berman CLO XIV, Ltd.

 

1,400,000

 

3.506%, (LIBOR 3M + 1.250%), 1/28/2030, Ser. 2013-14A, Class ARb,g

    1,399,987  
 

Neuberger Berman CLO, Ltd.

 

600,000

 

3.458%, (LIBOR 3M + 1.180%), 4/22/2029, Ser. 2014-17A, Class ARb,g

    599,304  
 

Octagon Investment Partners XVI, Ltd.

 

600,000

 

3.703%, (LIBOR 3M + 1.400%), 7/17/2030, Ser. 2013-1A, Class A2Rb,g

    589,127  
 

OZLM VIII, Ltd.

 

825,000

 

3.473%, (LIBOR 3M + 1.170%), 10/17/2029, Ser. 2014-8A, Class A1RRb,g

    824,140  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value  

 

 

Asset-Backed Securities (1.6%) - continued

 
 

Palmer Square Loan Funding, Ltd.

 

$3,137,398

 

3.128%, (LIBOR 3M + 0.850%), 1/20/2027, Ser. 2018-5A, Class A1b,g

    $3,134,713  

1,700,000

 

3.928%, (LIBOR 3M + 1.650%), 4/20/2027, Ser. 2019-1A, Class A2b,g

    1,699,969  
 

PPM CLO 3, Ltd.

 

2,000,000

 

3.874%, (LIBOR 3M + 1.400%), 7/17/2030, Ser. 2019-3A, Class Ab,g

    1,999,972  
 

Preston Ridge Partners Mortgage Trust, LLC

 

251,285

 

4.250%, 1/25/2022, Ser. 2017-1A, Class A1g,h

    251,831  
 

Progress Residential Trust

 

2,000,000

 

3.422%, 8/17/2035, Ser. 2019-SFR1, Class Ag

    2,057,075  
 

Race Point IX CLO, Ltd.

 

2,100,000

 

3.513%, (LIBOR 3M + 1.210%), 10/15/2030, Ser. 2015-9A, Class A1ARb,g

    2,099,977  
 

Saxon Asset Securities Trust

 

860,035

 

4.117%, 8/25/2035, Ser. 2004-2, Class MF2

    851,271  
 

Shackleton CLO, Ltd.

 

1,750,000

 

3.473%, (LIBOR 3M + 1.170%), 7/15/2031, Ser. 2015-7RA, Class A1b,g

    1,741,513  
 

SLM Student Loan Trust

 

1,200,172

 

2.418%, (LIBOR 1M + 0.400%), 3/25/2025, Ser. 2010-1, Class Ab

    1,164,232  
 

SoFi Professional Loan Program, LLC

 

322,147

 

2.420%, 3/25/2030, Ser. 2015-A, Class A2g

    322,160  
 

TCW GEM II, Ltd.

 

2,900,000

 

3.908%, (LIBOR 3M + 1.750%), 2/15/2029, Ser. 2019-1A, Class AJb,g

    2,901,053  
 

U.S. Small Business Administration

 
123,136  

3.191%, 3/10/2024, Ser. 2014-10A, Class 1

    125,641  
 

 

 
  Total     83,220,474  
 

 

 
Basic Materials (0.4%)  
 

Anglo American Capital plc

 

720,000

 

4.875%, 5/14/2025g

    782,075  
 

ArcelorMittal SA

 

698,000

 

6.125%, 6/1/2025

    785,537  
 

CF Industries, Inc.

 

1,300,000

 

3.450%, 6/1/2023

    1,319,500  
 

Dow Chemical Company

 

600,000

 

4.800%, 11/30/2028g

    677,958  
 

DowDuPont, Inc.

 

1,275,000

 

4.493%, 11/15/2025

    1,408,383  
 

First Quantum Minerals, Ltd.

 

1,365,000

 

7.500%, 4/1/2025g

    1,344,525  
 

Glencore Funding, LLC

 

560,000

 

4.125%, 5/30/2023g

    586,928  

725,000

 

4.000%, 3/27/2027g

    745,353  
 

International Paper Company

 

1,420,000

 

4.350%, 8/15/2048

    1,473,800  
 

Kinross Gold Corporation

 

470,000

 

5.950%, 3/15/2024

    523,133  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

201


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Basic Materials (0.4%) - continued

 

$1,510,000

 

4.500%, 7/15/2027

    $1,583,582  
 

Novelis Corporation

 

1,330,000

 

5.875%, 9/30/2026g

    1,394,838  
 

Olin Corporation

 

1,305,000

 

5.125%, 9/15/2027

    1,334,363  
 

Peabody Securities Finance Corporation

 

1,000,000

 

6.375%, 3/31/2025g

    988,130  
 

Syngenta Finance NV

 

1,200,000

 

3.933%, 4/23/2021g

    1,221,945  
 

Teck Resources, Ltd.

 

964,000

 

6.125%, 10/1/2035

    1,092,332  
 

Tronox Finance plc

 

760,000

 

5.750%, 10/1/2025g

    718,770  
 

Vale Overseas, Ltd.

 

840,000

 

6.250%, 8/10/2026

    968,100  

401,000

 

6.875%, 11/21/2036

    508,067  
 

Westlake Chemical Corporation

 

1,120,000

 

3.600%, 8/15/2026

    1,156,617  
 

Weyerhaeuser Company

 

1,250,000

 

4.000%, 11/15/2029

    1,359,048  
 

 

 
  Total     21,972,984  
 

 

 

Capital Goods (0.7%)

 
 

AECOM

 

530,000

 

5.875%, 10/15/2024

    576,110  

890,000

 

5.125%, 3/15/2027

    934,500  
 

Amsted Industries, Inc.

 

925,000

 

5.625%, 7/1/2027g

    975,875  
 

Ardagh Packaging Finance plc

 

1,310,000

 

6.000%, 2/15/2025g

    1,369,736  
 

Boeing Company

 

775,000

 

3.850%, 11/1/2048

    844,265  
 

Bombardier, Inc.

 

1,945,000

 

7.500%, 3/15/2025g

    1,942,569  
 

Building Materials Corporation of America

 

1,325,000

 

6.000%, 10/15/2025g

    1,389,209  
 

Cemex SAB de CV

 

1,285,000

 

6.125%, 5/5/2025g

    1,336,400  
 

Cintas Corporation No. 2

 

840,000

 

3.700%, 4/1/2027

    916,115  
 

CNH Industrial Capital, LLC

 

1,120,000

 

4.875%, 4/1/2021

    1,159,402  
 

CNH Industrial NV

 

700,000

 

3.850%, 11/15/2027

    721,506  
 

Covanta Holding Corporation

 

650,000

 

6.000%, 1/1/2027

    684,125  
 

Crown Cork & Seal Company, Inc.

 

1,460,000

 

7.375%, 12/15/2026

    1,773,900  
 

H&E Equipment Services, Inc.

 

850,000

 

5.625%, 9/1/2025

    874,990  
 

Ingersoll-Rand Luxembourg Finance SA

 

1,225,000

 

3.500%, 3/21/2026

    1,275,964  
 

L3Harris Technologies, Inc.

 

1,656,000

 

3.950%, 5/28/2024g

    1,757,483  
 

Lockheed Martin Corporation

 

1,136,000

 

3.600%, 3/1/2035

    1,225,344  

1,024,000

 

4.500%, 5/15/2036

    1,226,726  

284,000

 

6.150%, 9/1/2036

    393,145  
 

Northrop Grumman Corporation

 

1,960,000

 

3.850%, 4/15/2045

    2,160,060  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Capital Goods (0.7%) - continued

 
 

Owens-Brockway Glass Container, Inc.

 

$1,405,000

 

5.000%, 1/15/2022g

    $1,449,187  
 

Republic Services, Inc.

 

850,000

 

2.900%, 7/1/2026

    874,707  
 

Reynolds Group Issuer, Inc.

 

1,270,000

 

5.125%, 7/15/2023g

    1,300,163  
 

Rockwell Collins, Inc.

 

1,700,000

 

2.800%, 3/15/2022

    1,728,009  
 

Roper Technologies, Inc.

 

840,000

 

2.800%, 12/15/2021

    853,453  

435,000

 

3.650%, 9/15/2023

    456,684  

564,000

 

4.200%, 9/15/2028

    620,292  
 

Siemens Financieringsmaatschappij NV

 

755,000

 

4.200%, 3/16/2047g

    876,601  
 

Textron, Inc.

 

710,000

 

3.375%, 3/1/2028

    730,426  
 

United Rentals North America, Inc.

 

1,305,000

 

5.500%, 7/15/2025

    1,357,853  
 

United Technologies Corporation

 

1,575,000

 

4.450%, 11/16/2038

    1,875,190  

1,000,000

 

3.750%, 11/1/2046

    1,098,182  

1,410,000

 

4.050%, 5/4/2047

    1,623,791  
 

 

 
  Total     38,381,962  
 

 

 

Collateralized Mortgage Obligations (1.2%)

 
 

Ajax Mortgage Loan Trust

 

2,990,015

 

4.360%, 9/25/2065, Ser.

2018-C, Class Ab,g

    3,024,610  
 

Alternative Loan Trust

 

971,877

 

6.000%, 8/1/2036, Ser.

2006-24CB, Class A9

    816,399  
 

Angel Oak Mortgage Trust I, LLC

 

314,302

 

3.500%, 7/25/2046, Ser.

2016-1, Class A1g

    316,140  
 

Bayview Koitere Fund Trust

 

1,248,054

 

4.000%, 11/28/2053, Ser.

2017-SPL3, Class Ab,g

    1,283,120  
 

Bellemeade Re, Ltd.

 

2,700,000

 

3.118%, (LIBOR 1M + 1.100%), 7/25/2029, Ser. 2019-3A,

Class M1Ab,g

    2,701,151  
 

BRAVO Residential Funding Trust

 

546,843

 

3.500%, 3/25/2058, Ser.

2019-1, Class A1Cg

    557,421  
 

Citicorp Mortgage Securities, Inc.

 

2,773,567

 

6.000%, 7/25/2037, Ser.

2007-6, Class 1A4

    2,731,847  
 

Citigroup Mortgage Loan Trust, Inc.

 

277,178

 

5.500%, 11/25/2035, Ser.

2005-9, Class 21A2

    282,666  
 

COLT Funding, LLC

 

877,464

 

3.470%, 7/27/2048, Ser.

2018-2, Class A1b,g

    880,456  
 

Countrywide Alternative Loan Trust

 

1,077,286

 

3.666%, 10/25/2035, Ser.

2005-43, Class 4A1b

    996,350  

663,325

 

6.500%, 8/25/2036, Ser.

2006-23CB, Class 2A3

    402,328  

174,475

 

6.000%, 1/25/2037, Ser.

2006-39CB, Class 1A16

    174,068  

1,417,667

 

7.000%, 10/25/2037, Ser.

2007-24, Class A10

    860,385  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

202


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Collateralized Mortgage Obligations (1.2%) - continued

 
 

Countrywide Home Loans, Inc.

 

$321,919

 

5.750%, 4/25/2037, Ser. 2007-3, Class A27

    $263,350  
 

Credit Suisse Mortgage Trust

 

3,747,561

 

3.850%, 9/25/2057, Ser. 2018-RPL9, Class A1b,g

    3,889,321  
 

Deutsche Alt-A Securities, Inc., Mortgage Loan Trust

 

195,645

 

6.000%, 10/25/2021, Ser. 2006-AR5, Class 23A

    177,025  
 

Ellington Financial Mortgage Trust

 

2,000,911

 

4.140%, 10/25/2058, Ser. 2018-1, Class A1FXb,g

    2,026,091  
 

Federal Home Loan Mortgage Corporation

 

2,580,309

 

4.000%, 7/15/2031, Ser. 4104, Class KIi

    173,625  
 

Federal Home Loan Mortgage Corporation - REMIC

 

12,600,000

 

3.859%, 11/25/2028, Ser. K086, Class A2b,j

    14,246,092  

2,986,937

 

3.000%, 2/15/2033, Ser. 4170, Class IGi

    311,778  

3,493,083

 

3.000%, 3/15/2033, Ser. 4180, Class PIi

    355,393  
 

Federal National Mortgage Association - REMIC

 

6,915,220

 

3.000%, 12/25/2027, Ser. 2012-137, Class AIi

    501,744  
 

Galton Funding Mortgage Trust 2017-1

 

2,760,976

 

4.500%, 10/25/2058, Ser. 2018-2, Class A41b,g

    2,824,889  
 

GCAT Trust

 

187,624

 

2.985%, 2/25/2059, Ser. 2019-NQM1, Class A1g,h

    188,059  
 

Greenpoint Mortgage Funding Trust

 

808,119

 

2.218%, (LIBOR 1M + 0.200%), 10/25/2045, Ser. 2005-AR4, Class G41Bb

    724,862  
 

GS Mortgage-Backed Securities Trust

 

1,106,543

 

2.625%, 1/25/2059, Ser. 2019-SL1, Class A1b,g

    1,099,387  
 

MASTR Alternative Loans Trust

 

1,180,197

 

2.468%, (LIBOR 1M + 0.450%), 12/25/2035, Ser. 2005-6, Class 2A1b

    398,020  
 

Merrill Lynch Alternative Note Asset Trust

 

247,135

 

6.000%, 3/25/2037, Ser. 2007-F1, Class 2A1

    183,259  
 

Preston Ridge Partners Mortgage Trust, LLC

 

2,617,508

 

4.500%, 1/25/2024, Ser. 2019-1A, Class A1g,h

    2,636,005  
 

Pretium Mortgage Credit Partners, LLC

 

1,327,958

 

4.213%, 7/25/2060, Ser. 2019-NPL1, Class A1g,h

    1,338,971  
 

RCO 2017-INV1 Trust

 

2,077,761

 

3.197%, 11/25/2052, Ser. 2017-INV1, Class Ab,g

    2,065,394  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Collateralized Mortgage Obligations (1.2%) - continued

 
 

RCO Mortgage, LLC

 

$1,337,152

 

4.270%, 12/26/2053, Ser. 2018-VFS1, Class A1b,g

    $1,363,770  
 

Renaissance Home Equity Loan Trust

 

2,261,538

 

5.580%, 11/25/2036, Ser. 2006-3, Class AF2h

    1,190,912  
 

Residential Accredit Loans, Inc. Trust

 

1,051,695

 

6.000%, 8/25/2035, Ser. 2005-QS10, Class 2A

    1,059,152  

376,067

 

5.750%, 9/25/2035, Ser. 2005-QS13, Class 2A3

    373,214  
 

Sequoia Mortgage Trust

 

1,313,770

 

3.402%, 9/20/2046, Ser. 2007-1, Class 4A1b

    1,070,469  
 

Verus Securitization Trust

 

829,818

 

2.853%, 1/25/2047, Ser. 2017-1A, Class A1b,g

    828,595  

1,251,422

 

2.485%, 7/25/2047, Ser. 2017-2A, Class A1b,g

    1,244,571  

652,500

 

3.836%, 2/25/2059, Ser. 2019-1, Class A1b,g

    659,688  

492,023

 

3.211%, 4/25/2059, Ser. 2019-2, Class A1b,g

    494,719  

1,028,776

 

3.345%, 4/25/2059, Ser. 2019-2, Class A2b,g

    1,034,571  

3,171,912

 

2.913%, 7/25/2059, Ser. 2019-INV2, Class A1b,g

    3,180,396  
 

WaMu Mortgage Pass Through Certificates

 

192,747

 

3.811%, 9/25/2036, Ser. 2006-AR10, Class 1A2b

    185,720  

193,378

 

3.909%, 10/25/2036, Ser. 2006-AR12, Class 1A1b

    189,986  
 

 

 
  Total     61,305,969  
 

 

 

Commercial Mortgage-Backed Securities (1.7%)

 
 

Benchmark 2019-B13 Mortgage Trust

 

3,500,000

 

2.952%, 8/15/2057, Ser. 2019-B13, Class A4e

    3,630,589  
 

CSAIL Commercial Mortgage Trust

 

4,400,000

 

3.504%, 6/15/2057, Ser. 2015-C2, Class A4

    4,663,571  
 

Federal Home Loan Mortgage Corporation Multifamily Structured Pass Through Certificates

 

1,250,000

 

3.422%, 2/25/2052, Ser. K090, Class A2j

    1,376,550  

9,350,000

 

3.780%, 10/25/2028, Ser. K084, Class A2b,j

    10,501,533  

8,750,000

 

3.505%, 3/25/2029, Ser. K091, Class A2j

    9,699,262  

1,033,717

 

3.000%, 3/15/2045, Ser. 4741, Class GA

    1,062,898  
 

Federal National Mortgage Association

 

7,525,000

 

3.410%, 5/1/2028

    8,019,309  

4,600,000

 

3.640%, 6/1/2028

    4,952,166  

1,850,000

 

3.710%, 7/1/2028

    1,990,228  
 

Federal National Mortgage Association - ACES

 

2,825,000

 

2.569%, 12/25/2026, Ser. 2017-M3, Class A2b

    2,880,774  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

203


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Commercial Mortgage-Backed Securities (1.7%) - continued

 

$2,500,000

 

2.961%, 2/25/2027, Ser. 2017-M7, Class A2b

    $2,623,957  

4,500,000

 

3.555%, 9/25/2028, Ser. 2019-M1, Class A2b

    4,974,793  

6,700,000

 

3.639%, 8/25/2030, Ser. 2018-M12, Class A2b

    7,497,287  
 

Federal National Mortgage Association Grantor Trust

 

5,590,455

 

2.898%, 6/25/2027, Ser. 2017-T1, Class Aj

    5,846,793  
 

GS Mortgage Securities Trust

 

2,670,111

 

3.801%, 1/10/2047, Ser. 2014-GC18, Class A3

    2,823,458  

4,000,000

 

3.666%, 9/10/2047, Ser. 2014-GC24, Class A4

    4,259,758  

4,000,000

 

3.244%, 10/10/2048, Ser. 2015-GC34, Class A3

    4,214,798  
 

UBS Commercial Mortgage Trust

 

2,600,000

 

2.921%, 9/15/2052, Ser. 2019-C17, Class A4e

    2,676,186  

3,875,000

 

4.241%, 6/15/2051, Ser. 2018-C11, Class A5b

    4,394,187  
 

Wells Fargo Commercial Mortgage Trust

 

2,500,000

 

3.617%, 9/15/2057, Ser. 2015-NXS3, Class A4

    2,679,236  
 

 

 
  Total     90,767,333  
 

 

 

Communications Services (1.4%)

 
 

AMC Networks, Inc.

 

1,225,000

 

5.000%, 4/1/2024

    1,261,750  
 

AT&T, Inc.

 

1,550,000

 

4.350%, 3/1/2029

    1,712,957  

822,000

 

4.300%, 2/15/2030

    904,655  

1,100,000

 

5.250%, 3/1/2037

    1,295,179  

1,590,000

 

4.900%, 8/15/2037

    1,806,603  

840,000

 

6.350%, 3/15/2040

    1,067,501  

950,000

 

5.550%, 8/15/2041

    1,133,976  

546,000

 

4.750%, 5/15/2046

    605,875  

1,380,000

 

5.450%, 3/1/2047

    1,667,263  
 

British Sky Broadcasting Group plc

 

1,100,000

 

3.125%, 11/26/2022g

    1,135,724  
 

British Telecommunications plc

 

1,225,000

 

4.500%, 12/4/2023

    1,317,571  
 

CCO Holdings, LLC

 

1,500,000

 

5.875%, 4/1/2024g

    1,565,190  

1,100,000

 

5.500%, 5/1/2026g

    1,152,140  

640,000

 

5.125%, 5/1/2027g

    668,000  
 

Charter Communications Operating, LLC

 

700,000

 

4.500%, 2/1/2024

    752,098  

1,400,000

 

4.200%, 3/15/2028

    1,473,842  

1,320,000

 

6.484%, 10/23/2045

    1,608,414  
 

Comcast Corporation

 

1,325,000

 

4.950%, 10/15/2058

    1,699,928  

850,000

 

4.049%, 11/1/2052

    945,881  

875,000

 

2.750%, 3/1/2023

    896,386  

750,000

 

3.950%, 10/15/2025

    816,599  

1,250,000

 

4.250%, 10/15/2030

    1,422,760  

690,000

 

4.400%, 8/15/2035

    805,383  

1,115,000

 

4.750%, 3/1/2044

    1,362,212  

550,000

 

4.600%, 8/15/2045

    661,494  
 

Cox Communications, Inc.

 

1,400,000

 

3.350%, 9/15/2026g

    1,446,286  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Communications Services (1.4%) - continued

 

$568,000

 

4.600%, 8/15/2047g

    $623,759  
 

Crown Castle International Corporation

 

792,000

 

5.250%, 1/15/2023

    864,149  

1,136,000

 

3.200%, 9/1/2024

    1,170,707  
 

Discovery Communications, LLC

 

1,420,000

 

4.900%, 3/11/2026

    1,578,066  
 

Embarq Corporation

 

700,000

 

7.995%, 6/1/2036

    691,908  
 

Frontier Communications Corporation

 

620,000

 

8.000%, 4/1/2027g

    653,908  
 

Gray Television, Inc.

 

1,360,000

 

5.875%, 7/15/2026g

    1,414,400  
 

Level 3 Communications, Inc.

 

2,080,000

 

5.375%, 1/15/2024

    2,121,288  
 

Level 3 Financing, Inc.

 

200,000

 

5.375%, 5/1/2025

    207,250  
 

Moody’s Corporation

 

770,000

 

2.750%, 12/15/2021

    780,163  
 

Neptune Finco Corporation

 

1,769,000

 

10.875%, 10/15/2025g

    2,003,304  
 

Netflix, Inc.

 

1,365,000

 

4.875%, 4/15/2028

    1,388,819  
 

Nexstar Escrow Corporation

 

811,000

 

5.625%, 8/1/2024g

    844,129  
 

Omnicom Group, Inc.

 

530,000

 

3.600%, 4/15/2026

    558,793  
 

Sirius XM Radio, Inc.

 

1,250,000

 

5.000%, 8/1/2027g

    1,289,313  
 

Sprint Communications, Inc.

 

1,485,000

 

6.000%, 11/15/2022

    1,577,813  
 

Sprint Corporation

 

1,255,000

 

7.625%, 2/15/2025

    1,380,500  
 

Telefonica Emisiones SAU

 

825,000

 

4.570%, 4/27/2023

    889,296  

475,000

 

4.665%, 3/6/2038

    522,687  
 

Time Warner Entertainment Company, LP

 

1,341,000

 

8.375%, 3/15/2023

    1,587,795  
 

T-Mobile USA, Inc.

 

1,990,000

 

4.500%, 2/1/2026

    2,048,307  
 

Verizon Communications, Inc.

 

1,104,000

 

5.150%, 9/15/2023

    1,234,712  

1,311,000

 

3.376%, 2/15/2025

    1,384,645  

575,000

 

3.258%, (LIBOR 3M + 1.100%), 5/15/2025b

    583,887  

859,000

 

4.272%, 1/15/2036

    967,445  

2,272,000

 

4.862%, 8/21/2046

    2,778,007  
 

Viacom, Inc.

 

560,000

 

4.250%, 9/1/2023

    593,885  

1,095,000

 

6.875%, 4/30/2036

    1,405,730  

840,000

 

5.850%, 9/1/2043

    1,033,079  
 

Virgin Media Secured Finance plc

 

1,225,000

 

5.250%, 1/15/2026g

    1,258,688  
 

Vodafone Group plc

 

1,250,000

 

4.875%, 6/19/2049

    1,392,732  
 

Walt Disney Company

 

2,115,000

 

6.400%, 12/15/2035g

    3,050,477  
 

 

 
  Total     71,065,308  
 

 

 

Consumer Cyclical (1.1%)

 
 

Allison Transmission, Inc.

 

1,620,000

 

5.000%, 10/1/2024g

    1,655,438  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

204


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Consumer Cyclical (1.1%) - continued

 
 

Amazon.com, Inc.

 

$1,420,000

 

3.875%, 8/22/2037

    $1,631,535  

852,000

 

4.050%, 8/22/2047

    1,025,498  
 

American Honda Finance Corporation

 

1,250,000

 

2.150%, 9/10/2024

    1,243,121  
 

Brookfield Property REIT, Inc.

 

655,000

 

5.750%, 5/15/2026g

    684,475  
 

Brookfield Residential Properties, Inc.

 

900,000

 

6.250%, 9/15/2027g

    904,500  
 

Cinemark USA, Inc.

 

1,195,000

 

4.875%, 6/1/2023

    1,211,431  
 

D.R. Horton, Inc.

 

1,175,000

 

2.550%, 12/1/2020

    1,178,451  
 

Ford Motor Credit Company, LLC

 

100,000

 

8.125%, 1/15/2020

    101,654  

420,000

 

3.200%, 1/15/2021

    420,551  

1,300,000

 

5.596%, 1/7/2022

    1,365,851  

385,000

 

3.374%, (LIBOR 3M + 1.270%), 3/28/2022b

    379,725  

1,500,000

 

2.979%, 8/3/2022

    1,485,189  
 

General Motors Company

 

1,365,000

 

3.034%, (LIBOR 3M + 0.900%), 9/10/2021b

    1,363,731  

1,550,000

 

5.000%, 10/1/2028

    1,647,821  
 

General Motors Financial Company, Inc.

 

512,000

 

4.200%, 3/1/2021

    523,030  

1,250,000

 

3.150%, 6/30/2022

    1,264,465  

560,000

 

3.950%, 4/13/2024

    576,268  
 

Hanesbrands, Inc.

 

1,000,000

 

4.875%, 5/15/2026g

    1,056,500  
 

Hilton Domestic Operating Company, Inc.

 

1,290,000

 

4.875%, 1/15/2030g

    1,362,047  
 

Home Depot, Inc.

 

1,330,000

 

5.400%, 9/15/2040

    1,770,757  

840,000

 

4.250%, 4/1/2046

    1,005,013  

1,400,000

 

3.900%, 6/15/2047

    1,603,965  
 

Hyundai Capital America

 

1,850,000

 

3.000%, 6/20/2022g

    1,864,057  
 

L Brands, Inc.

 

650,000

 

5.625%, 2/15/2022

    684,938  

650,000

 

6.694%, 1/15/2027

    638,625  
 

Landry’s, Inc.

 

1,250,000

 

6.750%, 10/15/2024g

    1,281,250  
 

Lear Corporation

 

900,000

 

5.250%, 1/15/2025

    929,663  
 

Lennar Corporation

 

825,000

 

4.125%, 1/15/2022

    844,594  

1,985,000

 

4.875%, 12/15/2023

    2,109,063  
 

Live Nation Entertainment, Inc.

 

420,000

 

5.375%, 6/15/2022g

    425,250  

925,000

 

5.625%, 3/15/2026g

    983,969  
 

Macy’s Retail Holdings, Inc.

 

1,690,000

 

2.875%, 2/15/2023

    1,668,615  
 

Mastercard, Inc.

 

830,000

 

3.950%, 2/26/2048

    982,358  
 

Mattamy Group Corporation

 

1,220,000

 

6.500%, 10/1/2025g

    1,281,000  
 

McDonald’s Corporation

 

1,365,000

 

4.450%, 3/1/2047

    1,568,374  
 

MGM Resorts International

 

1,315,000

 

6.000%, 3/15/2023

    1,448,736  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Consumer Cyclical (1.1%) - continued

 
 

Navistar International Corporation

 

$1,200,000

 

6.625%, 11/1/2025g

    $1,218,000  
 

New Red Finance, Inc.

 

1,330,000

 

4.250%, 5/15/2024g

    1,368,184  
 

Prime Security Services Borrower, LLC

 

1,310,000

 

5.750%, 4/15/2026g

    1,364,103  
 

Scientific Games International, Inc.

 

650,000

 

5.000%, 10/15/2025g

    670,670  
 

ServiceMaster Company, LLC

 

1,300,000

 

5.125%, 11/15/2024g

    1,348,750  
 

Six Flags Entertainment Corporation

 

1,290,000

 

4.875%, 7/31/2024g

    1,335,150  
 

Viking Cruises, Ltd.

 

920,000

 

5.875%, 9/15/2027g

    974,832  
 

Volkswagen Group of America Finance, LLC

 

1,500,000

 

4.250%, 11/13/2023g

    1,598,255  
 

Walmart, Inc.

 

825,000

 

3.250%, 7/8/2029

    891,645  
 

Yum! Brands, Inc.

 

1,300,000

 

5.000%, 6/1/2024g

    1,348,750  

330,000

 

4.750%, 1/15/2030g

    340,313  
 

 

 
  Total     54,630,160  
 

 

 

Consumer Non-Cyclical (1.9%)

 
 

Abbott Laboratories

 

140,000

 

2.900%, 11/30/2021

    142,525  

490,000

 

3.400%, 11/30/2023

    515,118  

1,000,000

 

4.750%, 11/30/2036

    1,228,998  
 

AbbVie, Inc.

 

1,320,000

 

3.600%, 5/14/2025

    1,372,619  

560,000

 

4.700%, 5/14/2045

    598,273  
 

Albertson’s Companies, LLC

 

1,360,000

 

7.500%, 3/15/2026g

    1,513,000  
 

Allergan, Inc.

 

1,100,000

 

2.800%, 3/15/2023

    1,110,198  
 

Altria Group, Inc.

 

700,000

 

4.400%, 2/14/2026

    748,295  

2,725,000

 

5.800%, 2/14/2039

    3,159,903  
 

Anheuser-Busch Companies, LLC

 

1,439,000

 

3.650%, 2/1/2026

    1,541,850  

2,240,000

 

4.700%, 2/1/2036

    2,590,653  
 

Anheuser-Busch InBev Worldwide, Inc.

 

2,725,000

 

4.750%, 4/15/2058

    3,173,007  

1,350,000

 

4.375%, 4/15/2038

    1,511,731  

150,000

 

4.600%, 4/15/2048

    172,912  
 

Anthem, Inc.

 

1,400,000

 

4.625%, 5/15/2042

    1,551,681  
 

B&G Foods, Inc.

 

450,000

 

5.250%, 9/15/2027

    460,170  
 

BAT Capital Corporation

 

852,000

 

3.222%, 8/15/2024

    862,298  

1,136,000

 

4.540%, 8/15/2047

    1,090,640  
 

Baxalta, Inc.

 

569,000

 

4.000%, 6/23/2025

    613,352  
 

Bayer U.S. Finance II, LLC

 

1,380,000

 

4.250%, 12/15/2025g

    1,473,316  
 

Becton, Dickinson and Company

 

214,000

 

3.734%, 12/15/2024

    226,462  

1,650,000

 

3.700%, 6/6/2027

    1,748,168  

840,000

 

4.669%, 6/6/2047

    992,677  
 

Boston Scientific Corporation

 

750,000

 

4.000%, 3/1/2028

    822,337  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

205


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Consumer Non-Cyclical (1.9%) - continued

 

$840,000

 

7.375%, 1/15/2040

    $1,278,032  
 

Bunge, Ltd. Finance Corporation

 

300,000

 

3.500%, 11/24/2020

    303,239  
 

Cargill, Inc.

 

1,200,000

 

3.250%, 5/23/2029g

    1,284,200  
 

Celgene Corporation

 

2,285,000

 

2.875%, 8/15/2020

    2,297,563  
 

Centene Corporation

 

1,640,000

 

4.750%, 1/15/2025

    1,683,460  
 

Cigna Corporation

 

290,000

 

3.193%, (LIBOR 3M + 0.890%), 7/15/2023b

    290,654  

1,050,000

 

4.125%, 11/15/2025

    1,130,626  

760,000

 

3.050%, 10/15/2027

    773,486  

1,325,000

 

4.800%, 8/15/2038

    1,488,785  
 

Clorox Company

 

1,680,000

 

3.100%, 10/1/2027

    1,752,706  
 

Conagra Brands, Inc.

 

600,000

 

3.800%, 10/22/2021

    619,183  

935,000

 

4.300%, 5/1/2024

    1,003,350  
 

Constellation Brands, Inc.

 

1,120,000

 

3.600%, 2/15/2028

    1,182,735  
 

CVS Health Corporation

 

556,000

 

3.700%, 3/9/2023

    578,700  

275,000

 

4.000%, 12/5/2023

    290,621  

1,370,000

 

4.100%, 3/25/2025

    1,462,880  

1,870,000

 

4.875%, 7/20/2035

    2,091,248  

1,630,000

 

4.780%, 3/25/2038

    1,796,915  

1,380,000

 

5.050%, 3/25/2048

    1,569,381  
 

EMD Finance, LLC

 

1,128,000

 

2.950%, 3/19/2022g

    1,141,454  
 

Energizer Holdings, Inc.

 

1,300,000

 

5.500%, 6/15/2025g

    1,345,929  
 

Express Scripts Holding Company

 

1,685,000

 

4.800%, 7/15/2046

    1,887,479  
 

HCA, Inc.

 

1,900,000

 

5.375%, 2/1/2025

    2,075,750  
 

Imperial Brands Finance plc

 

1,200,000

 

3.875%, 7/26/2029g

    1,209,566  
 

JBS USA Lux SA

 

1,370,000

 

5.500%, 1/15/2030g

    1,452,173  
 

JBS USA, LLC

 

610,000

 

5.750%, 6/15/2025g

    635,510  
 

Keurig Dr Pepper, Inc.

 

1,100,000

 

3.551%, 5/25/2021

    1,124,316  
 

Kimberly-Clark Corporation

 

1,410,000

 

3.900%, 5/4/2047

    1,617,889  
 

Kraft Foods Group, Inc.

 

1,056,000

 

5.000%, 6/4/2042

    1,089,312  
 

Kraft Heinz Foods Company

 

1,650,000

 

3.375%, 6/15/2021

    1,671,353  

1,100,000

 

4.875%, 10/1/2049g

    1,110,158  
 

Kroger Company

 

710,000

 

2.800%, 8/1/2022

    722,459  
 

Medtronic, Inc.

 

945,000

 

4.375%, 3/15/2035

    1,137,786  

80,000

 

4.625%, 3/15/2045

    102,674  
 

Merck & Company, Inc.

 

260,000

 

3.700%, 2/10/2045

    294,359  
 

Mondelez International Holdings

 
 

Netherlands BV

 

1,200,000

 

2.000%, 10/28/2021g

    1,197,599  
 

Mylan, Inc.

 

260,000

 

3.125%, 1/15/2023g

    262,705  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Consumer Non-Cyclical (1.9%) - continued

 
 

Nestle Holdings, Inc.

 

$900,000

 

3.900%, 9/24/2038g

    $1,040,325  
 

Par Pharmaceutical, Inc.

 

660,000

 

7.500%, 4/1/2027g

    600,600  
 

Perrigo Finance Unlimited Company

 

833,000

 

4.900%, 12/15/2044

    780,100  
 

Post Holdings, Inc.

 

560,000

 

5.500%, 3/1/2025g

    586,600  
 

Reynolds American, Inc.

 

1,563,000

 

5.700%, 8/15/2035

    1,745,304  
 

Roche Holdings, Inc.

 

768,000

 

4.000%, 11/28/2044g

    915,930  
 

Shire Acquisitions Investments Ireland Designated Activity Company

 

1,680,000

 

2.400%, 9/23/2021

    1,687,789  
 

Simmons Foods, Inc.

 

1,295,000

 

5.750%, 11/1/2024g

    1,262,625  
 

Smithfield Foods, Inc.

 

1,320,000

 

2.700%, 1/31/2020g

    1,319,223  

820,000

 

2.650%, 10/3/2021g

    812,120  
 

Spectrum Brands, Inc.

 

1,250,000

 

5.750%, 7/15/2025

    1,304,363  
 

Tenet Healthcare Corporation

 

350,000

 

4.625%, 7/15/2024

    359,706  

970,000

 

5.125%, 11/1/2027g

    1,002,350  
 

Tyson Foods, Inc.

 

560,000

 

3.550%, 6/2/2027

    593,505  
 

UnitedHealth Group, Inc.

 

1,400,000

 

2.950%, 10/15/2027

    1,445,489  

2,470,000

 

4.625%, 7/15/2035

    2,993,657  
 

Valeant Pharmaceuticals International, Inc.

 

650,000

 

5.875%, 5/15/2023g

    658,125  
 

VRX Escrow Corporation

 

2,555,000

 

6.125%, 4/15/2025g

    2,650,813  
 

Zimmer Biomet Holdings, Inc.

 

900,000

 

3.550%, 4/1/2025

    945,025  
 

Zoetis, Inc.

 

1,870,000

 

4.700%, 2/1/2043

    2,243,666  
 

 

 
  Total     97,123,733  
 

 

 

Energy (1.4%)

 
 

Alliance Resource Operating Partners, LP

 

850,000

 

7.500%, 5/1/2025g

    839,375  
 

Antero Resources Corporation

 

1,275,000

 

5.125%, 12/1/2022

    1,118,812  
 

BP Capital Markets America, Inc.

 

285,000

 

3.119%, 5/4/2026

    297,507  
 

BP Capital Markets plc

 

760,000

 

3.535%, 11/4/2024

    807,000  

1,960,000

 

3.279%, 9/19/2027

    2,063,339  
 

Canadian Oil Sands, Ltd.

 

750,000

 

9.400%, 9/1/2021g

    837,230  
 

Cenovus Energy, Inc.

 

1,000,000

 

5.400%, 6/15/2047

    1,126,507  
 

Cheniere Corpus Christi Holdings, LLC

 

1,260,000

 

7.000%, 6/30/2024

    1,447,425  

1,185,000

 

5.875%, 3/31/2025

    1,318,313  
 

Cheniere Energy Partners, LP

 

1,365,000

 

5.625%, 10/1/2026

    1,448,470  
 

Chesapeake Energy Corporation

 

1,110,000

 

7.000%, 10/1/2024

    796,425  

 

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

206


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Energy (1.4%) - continued

 
 

ConocoPhillips

 

$1,400,000

 

6.500%, 2/1/2039

    $2,025,856  
 

Continental Resources, Inc.

 

770,000

 

5.000%, 9/15/2022

    776,784  

1,375,000

 

4.375%, 1/15/2028

    1,420,740  
 

Diamondback Energy, Inc.

 

980,000

 

4.750%, 11/1/2024

    1,003,275  

620,000

 

5.375%, 5/31/2025

    647,007  
 

El Paso Pipeline Partners Operating Company, LLC

 

840,000

 

4.300%, 5/1/2024

    898,418  
 

Enbridge Energy Partners, LP

 

1,400,000

 

5.875%, 10/15/2025

    1,630,911  
 

Enbridge, Inc.

 

975,000

 

2.900%, 7/15/2022

    993,508  
 

Energy Transfer Operating, LP

 

450,000

 

4.200%, 9/15/2023

    473,423  

1,340,000

 

6.000%, 6/15/2048

    1,584,076  
 

Energy Transfer Partners, LP

 

765,000

 

4.900%, 3/15/2035

    790,230  

600,000

 

5.150%, 2/1/2043

    623,622  
 

Eni SPA

 

1,365,000

 

4.000%, 9/12/2023g

    1,445,141  
 

EnLink Midstream Partners, LP

 

575,000

 

4.150%, 6/1/2025

    533,313  

2,090,000

 

4.850%, 7/15/2026

    1,985,500  
 

EQM Midstream Partners LP

 

1,365,000

 

4.750%, 7/15/2023

    1,370,140  
 

Hess Corporation

 

2,115,000

 

3.500%, 7/15/2024

    2,158,643  
 

Kinder Morgan Energy Partners, LP

 

765,000

 

3.500%, 3/1/2021

    776,547  

1,400,000

 

6.500%, 9/1/2039

    1,772,303  
 

Magellan Midstream Partners, LP

 

750,000

 

5.000%, 3/1/2026

    842,019  
 

Marathon Oil Corporation

 

840,000

 

2.700%, 6/1/2020

    841,643  

860,000

 

6.600%, 10/1/2037

    1,070,361  
 

Marathon Petroleum Corporation

 

1,680,000

 

4.750%, 12/15/2023

    1,823,305  

636,000

 

6.500%, 3/1/2041

    792,008  
 

MPLX, LP

 

1,200,000

 

4.875%, 12/1/2024

    1,317,418  

1,680,000

 

4.875%, 6/1/2025

    1,848,388  
 

Nabors Industries, Inc.

 

885,000

 

5.750%, 2/1/2025

    654,900  
 

Newfield Exploration Company

 

1,000,000

 

5.625%, 7/1/2024

    1,103,252  
 

Noble Energy, Inc.

 

1,250,000

 

5.050%, 11/15/2044

    1,364,367  
 

Occidental Petroleum Corporation

 

1,338,000

 

4.850%, 3/15/2021

    1,383,452  

846,000

 

3.200%, 8/15/2026

    852,257  
 

Parsley Energy, LLC

 

1,025,000

 

5.625%, 10/15/2027g

    1,058,313  
 

Petrobras Global Finance BV

 

712,000

 

5.093%, 1/15/2030g

    742,723  
 

Phillips 66

 

1,130,000

 

3.900%, 3/15/2028

    1,218,421  
 

Pioneer Natural Resources Company

 

500,000

 

4.450%, 1/15/2026

    547,843  
 

Plains All American Pipeline, LP

 

1,300,000

 

5.000%, 2/1/2021

    1,333,629  
 

Precision Drilling Corporation

 

540,000

 

7.125%, 1/15/2026g

    499,500  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Energy (1.4%) - continued

 
 

Sabine Pass Liquefaction, LLC

 

$840,000

 

6.250%, 3/15/2022

    $905,099  

1,000,000

 

5.625%, 4/15/2023

    1,086,652  

1,140,000

 

5.750%, 5/15/2024

    1,270,779  
 

Schlumberger Holdings Corporation

 

1,380,000

 

4.000%, 12/21/2025g

    1,471,489  
 

Southwestern Energy Company

 

1,260,000

 

7.500%, 4/1/2026

    1,096,200  
 

Suncor Energy, Inc.

 

780,000

 

3.600%, 12/1/2024

    822,351  
 

Sunoco, LP

 

625,000

 

5.500%, 2/15/2026

    652,294  

935,000

 

5.875%, 3/15/2028

    992,269  
 

Tallgrass Energy Partners, LP

 

2,060,000

 

5.500%, 1/15/2028g

    2,013,444  
 

Transocean Guardian, Ltd.

 

1,143,650

 

5.875%, 1/15/2024g

    1,149,368  
 

W&T Offshore, Inc.

 

860,000

 

9.750%, 11/1/2023g

    820,973  
 

Western Gas Partners, LP

 

1,120,000

 

4.000%, 7/1/2022

    1,133,570  
 

Williams Companies, Inc.

 

1,400,000

 

7.500%, 1/15/2031

    1,841,133  
 

Williams Partners, LP

 

700,000

 

4.000%, 11/15/2021

    719,520  

375,000

 

3.600%, 3/15/2022

    385,204  

710,000

 

4.500%, 11/15/2023

    760,008  
 

Woodside Finance, Ltd.

 

1,400,000

 

3.650%, 3/5/2025g

    1,443,105  

565,000

 

3.700%, 3/15/2028g

    580,101  
 

WPX Energy, Inc.

 

1,210,000

 

5.750%, 6/1/2026

    1,240,250  
 

 

 
  Total     74,687,448  
 

 

 

Financials (3.3%)

 
 

ACE INA Holdings, Inc.

 

737,000

 

4.350%, 11/3/2045

    905,079  
 

AerCap Ireland Capital, Ltd.

 

420,000

 

5.000%, 10/1/2021

    441,589  

980,000

 

3.500%, 1/15/2025

    1,000,199  
 

Aircastle, Ltd.

 

1,650,000

 

5.000%, 4/1/2023

    1,767,138  
 

Ally Financial, Inc.

 

1,310,000

 

5.750%, 11/20/2025

    1,467,226  
 

American International Group, Inc.

 

1,705,000

 

3.750%, 7/10/2025

    1,800,756  

1,560,000

 

3.900%, 4/1/2026

    1,661,338  
 

Aviation Capital Group, LLC

 

1,135,000

 

2.875%, 1/20/2022g

    1,139,626  
 

Avolon Holdings Funding, Ltd.

 

700,000

 

5.250%, 5/15/2024g

    749,490  
 

Banco Santander SA

 
 

3.460%, (LIBOR 3M +

 

1,200,000

 

1.120%), 4/12/2023b

    1,201,105  
 

Bank of America Corporation

 

700,000

 

3.499%, 5/17/2022b

    713,865  

1,065,000

 

3.300%, 1/11/2023

    1,101,013  

1,130,000

 

2.881%, 4/24/2023b

    1,147,013  

1,056,000

 

4.000%, 4/1/2024

    1,133,084  

1,000,000

 

4.200%, 8/26/2024

    1,072,636  

1,580,000

 

4.000%, 1/22/2025

    1,678,372  

1,450,000

 

3.458%, 3/15/2025b

    1,512,898  

1,400,000

 

3.093%, 10/1/2025b

    1,442,033  

1,704,000

 

4.183%, 11/25/2027

    1,833,418  

1,160,000

 

3.824%, 1/20/2028b

    1,246,611  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

207


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Financials (3.3%) - continued

 

$750,000

 

3.194%, 7/23/2030b

    $773,942  
 

Bank of Nova Scotia

 

1,200,000

 

2.700%, 3/7/2022

    1,220,990  
 

Barclays Bank plc

 

264,000

 

10.179%, 6/12/2021g

    295,242  
 

Barclays plc

 

1,825,000

 

3.250%, 1/12/2021

    1,838,220  

1,300,000

 

4.610%, 2/15/2023b

    1,350,531  
 

Boston Properties, LP

 

850,000

 

4.500%, 12/1/2028

    967,101  
 

BPCE SA

 

725,000

 

3.000%, 5/22/2022g

    735,693  

1,960,000

 

3.500%, 10/23/2027g

    2,040,353  
 

Camden Property Trust

 

1,500,000

 

3.150%, 7/1/2029

    1,561,121  
 

Capital One Financial Corporation

 

1,120,000

 

3.050%, 3/9/2022

    1,142,328  

1,000,000

 

4.200%, 10/29/2025

    1,065,754  
 

Capital One NA

 

1,050,000

 

2.150%, 9/6/2022

    1,049,110  
 

CIT Group, Inc.

 

1,325,000

 

5.000%, 8/15/2022

    1,403,705  
 

Citigroup, Inc.

 

690,000

 

4.050%, 7/30/2022

    722,361  

840,000

 

3.142%, 1/24/2023b

    855,567  

1,990,000

 

4.400%, 6/10/2025

    2,139,622  

1,120,000

 

3.200%, 10/21/2026

    1,156,265  

1,704,000

 

3.668%, 7/24/2028b

    1,803,559  

840,000

 

4.125%, 7/25/2028

    904,357  

1,400,000

 

3.520%, 10/27/2028b

    1,466,572  

828,000

 

4.650%, 7/23/2048

    1,013,350  
 

CNA Financial Corporation

 

450,000

 

3.900%, 5/1/2029

    486,309  
 

Commerzbank AG

 

1,400,000

 

8.125%, 9/19/2023g

    1,632,663  
 

Commonwealth Bank of Australia

 

190,000

 

2.250%, 3/10/2020g

    190,173  
 

Compass Bank

 

1,150,000

 

3.500%, 6/11/2021

    1,168,982  
 

Cooperatieve Centrale Raiffeisen- Boerenleenbank BA

 

1,560,000

 

3.950%, 11/9/2022

    1,624,860  

1,330,000

 

4.625%, 12/1/2023

    1,430,010  
 

Credit Agricole SA

 

400,000

 

3.375%, 1/10/2022g

    408,942  
 

Credit Suisse Group AG

 

775,000

 

7.250%, 9/12/2025b,g,k

    829,250  

1,065,000

 

3.869%, 1/12/2029b,g

    1,121,740  
 

Credit Suisse Group Funding, Ltd.

 

1,024,000

 

3.750%, 3/26/2025

    1,076,068  
 

Danske Bank AS

 

900,000

 

3.244%, 12/20/2025b,g

    907,338  
 

Deutsche Bank AG

 

846,000

 

2.700%, 7/13/2020

    844,261  

1,630,000

 

3.375%, 5/12/2021

    1,625,290  

700,000

 

4.250%, 10/14/2021

    710,099  

300,000

 

4.875%, 12/1/2032b

    271,614  
 

Discover Bank

 

1,135,000

 

8.700%, 11/18/2019

    1,143,778  

600,000

 

2.450%, 9/12/2024

    598,372  

1,410,000

 

4.682%, 8/9/2028b

    1,474,148  
 

Duke Realty, LP

 

260,000

 

3.875%, 2/15/2021

    265,323  

780,000

 

4.375%, 6/15/2022

    819,458  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Financials (3.3%) - continued

 
 

ERP Operating, LP

 

$267,000

 

3.375%, 6/1/2025

    $282,239  
 

Fidelity National Financial, Inc.

 

1,125,000

 

5.500%, 9/1/2022

    1,207,318  
 

Fifth Third Bancorp

 

915,000

 

2.600%, 6/15/2022

    924,826  
 

Five Corners Funding Trust

 

2,450,000

 

4.419%, 11/15/2023g

    2,648,799  
 

GE Capital International Funding Company

 

4,915,000

 

4.418%, 11/15/2035

    5,155,398  
 

Goldman Sachs Group, Inc.

 

1,975,000

 

5.375%, 5/10/2020b,k

    1,989,812  

448,000

 

5.250%, 7/27/2021

    472,062  

1,685,000

 

2.876%, 10/31/2022b

    1,704,512  

1,120,000

 

2.908%, 6/5/2023b

    1,134,734  

1,000,000

 

3.625%, 2/20/2024

    1,049,084  

1,980,000

 

3.691%, 6/5/2028b

    2,078,717  

460,000

 

4.750%, 10/21/2045

    553,176  
 

HCP, Inc.

 

426,000

 

4.000%, 12/1/2022

    446,066  

520,000

 

3.400%, 2/1/2025

    539,213  
 

HSBC Holdings plc

 

2,025,000

 

3.400%, 3/8/2021

    2,055,982  

1,075,000

 

6.875%, 6/1/2021b,k

    1,127,675  

925,000

 

2.650%, 1/5/2022

    931,638  

1,525,000

 

3.803%, 3/11/2025b

    1,588,688  

1,040,000

 

3.900%, 5/25/2026

    1,102,946  
 

Icahn Enterprises, LP

 

250,000

 

6.750%, 2/1/2024

    260,000  

885,000

 

6.375%, 12/15/2025

    930,589  
 

ING Groep NV

 

855,000

 

3.150%, 3/29/2022

    874,292  

1,050,000

 

4.100%, 10/2/2023

    1,114,679  
 

International Lease Finance Corporation

 

550,000

 

5.875%, 8/15/2022

    602,607  
 

Iron Mountain, Inc.

 

745,000

 

6.000%, 8/15/2023

    762,582  
 

J.P. Morgan Chase & Company

 

670,000

 

2.295%, 8/15/2021

    671,778  

1,400,000

 

2.700%, 5/18/2023

    1,424,013  

565,000

 

3.513%, (LIBOR 3M + 1.230%), 10/24/2023b

    573,958  

1,040,000

 

3.625%, 5/13/2024

    1,102,039  

1,200,000

 

3.875%, 9/10/2024

    1,278,482  

1,040,000

 

3.125%, 1/23/2025

    1,077,619  

25,000

 

3.900%, 7/15/2025

    26,976  

105,000

 

3.300%, 4/1/2026

    109,990  

1,350,000

 

4.203%, 7/23/2029b

    1,499,920  

1,000,000

 

4.452%, 12/5/2029b

    1,131,156  

1,700,000

 

3.882%, 7/24/2038b

    1,866,816  
 

Kimco Realty Corporation

 

2,272,000

 

3.300%, 2/1/2025

    2,343,457  
 

Liberty Mutual Group, Inc.

 

560,000

 

4.950%, 5/1/2022g

    593,635  
 

Lloyds Bank plc

 

750,000

 

2.699%, (LIBOR 3M + 0.490%), 5/7/2021b

    749,924  
 

Lloyds Banking Group plc

 

1,405,000

 

2.907%, 11/7/2023b

    1,407,786  
 

Marsh & McLennan Companies, Inc.

 

1,100,000

 

3.875%, 3/15/2024

    1,172,644  
 

MassMutual Global Funding

 

920,000

 

2.750%, 6/22/2024g

    941,478  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

208


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Financials (3.3%) - continued

 
 

MetLife, Inc.

 

$1,025,000

 

4.050%, 3/1/2045

    $1,146,712  
 

Mitsubishi UFJ Financial Group, Inc.

 

1,680,000

 

3.455%, 3/2/2023

    1,738,825  

1,420,000

 

3.287%, 7/25/2027

    1,484,890  
 

Morgan Stanley

 

560,000

 

5.550%, 7/15/2020b,k

    567,756  

500,000

 

2.625%, 11/17/2021

    504,557  

1,260,000

 

2.750%, 5/19/2022

    1,278,127  

660,000

 

4.875%, 11/1/2022

    707,750  

1,120,000

 

3.125%, 1/23/2023

    1,148,913  

1,350,000

 

4.350%, 9/8/2026

    1,463,574  

1,704,000

 

3.591%, 7/22/2028b

    1,797,332  
 

MPT Operating Partnership, LP

 

665,000

 

6.375%, 3/1/2024

    697,113  

675,000

 

4.625%, 8/1/2029

    695,250  
 

Nationwide Building Society

 

650,000

 

3.622%, 4/26/2023b,g

    662,661  
 

New York Life Global Funding

 

840,000

 

2.300%, 6/10/2022g,l

    844,710  
 

Park Aerospace Holdings, Ltd.

 

700,000

 

4.500%, 3/15/2023g

    724,360  
 

Prudential Financial, Inc.

 

900,000

 

3.700%, 3/13/2051

    930,188  
 

Quicken Loans, Inc.

 

1,315,000

 

5.750%, 5/1/2025g

    1,356,094  
 

Realty Income Corporation

 

1,120,000

 

4.125%, 10/15/2026

    1,233,847  
 

Regency Centers, LP

 

1,680,000

 

4.125%, 3/15/2028

    1,824,353  
 

Reinsurance Group of America, Inc.

 

965,000

 

4.700%, 9/15/2023

    1,042,813  

650,000

 

3.900%, 5/15/2029

    691,769  
 

Royal Bank of Scotland Group plc

 

425,000

 

6.125%, 12/15/2022

    459,864  

500,000

 

6.100%, 6/10/2023

    544,599  

800,000

 

3.875%, 9/12/2023

    825,601  

1,265,000

 

5.125%, 5/28/2024

    1,348,513  

1,250,000

 

4.269%, 3/22/2025b

    1,307,313  

850,000

 

4.445%, 5/8/2030b

    910,383  
 

Santander UK Group Holdings plc

 

896,000

 

2.875%, 10/16/2020

    898,810  
 

Simon Property Group, LP

 

1,115,000

 

2.750%, 2/1/2023

    1,137,609  

1,120,000

 

4.250%, 11/30/2046

    1,294,074  
 

SITE Centers Corporation

 

374,000

 

4.625%, 7/15/2022

    390,936  
 

Societe Generale SA

 

840,000

 

4.750%, 11/24/2025g

    902,381  
 

Sumitomo Mitsui Financial Group, Inc.

 

975,000

 

2.784%, 7/12/2022

    989,515  

840,000

 

3.102%, 1/17/2023

    861,371  

840,000

 

3.010%, 10/19/2026

    863,319  
 

Synchrony Financial

 

330,000

 

4.250%, 8/15/2024

    348,174  

1,650,000

 

3.950%, 12/1/2027

    1,691,774  
 

UBS Group Funding Jersey, Ltd.

 

768,000

 

4.125%, 9/24/2025g

    829,830  
 

Ventas Realty, LP

 

200,000

 

3.100%, 1/15/2023

    205,165  

1,400,000

 

4.000%, 3/1/2028

    1,502,831  
 

Voya Financial, Inc.

 

1,979,000

 

3.125%, 7/15/2024

    2,043,297  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Financials (3.3%) - continued

 
 

Wells Fargo & Company

 

$1,280,000

 

2.625%, 7/22/2022

    $1,294,240  

1,120,000

 

3.450%, 2/13/2023

    1,156,951  

1,200,000

 

4.125%, 8/15/2023

    1,273,265  

1,040,000

 

3.000%, 2/19/2025

    1,067,880  

600,000

 

3.000%, 4/22/2026

    615,336  

1,140,000

 

3.000%, 10/23/2026

    1,169,131  

1,930,000

 

4.900%, 11/17/2045

    2,310,214  
 

Welltower, Inc.

 

435,000

 

3.950%, 9/1/2023

    460,803  
 

ZB NA

 

1,350,000

 

3.500%, 8/27/2021

    1,379,431  
 

 

 
  Total     171,282,419  
 

 

 

Foreign Government (<0.1%)

 
 

Kommunalbanken AS

 

735,000

 

1.500%, 10/22/2019g

    734,713  
 

 

 
  Total     734,713  
 

 

 

Mortgage-Backed Securities (12.1%)

 
 

Federal National Mortgage Association

 

2,911,108

 

3.230%, 11/1/2020

    2,923,128  
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

44,000,000

 

2.500%, 10/1/2034e

    44,378,985  

80,100,000

 

3.500%, 10/1/2034e

    82,847,179  

148,075,000

 

3.000%, 10/1/2034e

    151,377,767  
 

Federal National Mortgage Association Conventional 30-Yr. Pass Through

 

414,926

 

4.321%, (LIBOR 12M + 1.550%), 7/1/2043b

    429,910  

134,675,000

 

3.500%, 10/1/2049e

    138,173,393  

207,850,000

 

3.000%, 10/1/2049e

    211,016,464  
 

 

 
  Total     631,146,826  
 

 

 

Technology (0.8%)

 
 

Apple, Inc.

 

1,120,000

 

3.200%, 5/11/2027

    1,187,952  

2,250,000

 

3.000%, 11/13/2027

    2,364,204  

1,975,000

 

3.750%, 9/12/2047

    2,199,663  
 

Applied Materials, Inc.

 

560,000

 

3.300%, 4/1/2027

    595,996  
 

Avnet, Inc.

 

820,000

 

3.750%, 12/1/2021

    836,865  
 

Broadcom Corporation

 

851,000

 

3.875%, 1/15/2027

    855,399  

1,100,000

 

3.500%, 1/15/2028

    1,073,200  
 

CommScope Technologies Finance, LLC

 

1,405,000

 

6.000%, 6/15/2025g

    1,268,012  
 

Dell International, LLC/EMC Corporation

 

450,000

 

4.000%, 7/15/2024g

    470,687  
 

Diamond 1 Finance Corporation

 

1,400,000

 

5.450%, 6/15/2023g

    1,524,492  

2,270,000

 

6.020%, 6/15/2026g

    2,559,850  
 

Diamond Sports Group, LLC

 

1,310,000

 

6.625%, 8/15/2027g,l

    1,357,226  
 

Equinix, Inc.

 

1,240,000

 

5.750%, 1/1/2025

    1,291,212  
 

Harland Clarke Holdings Corporation

 

990,000

 

8.375%, 8/15/2022g

    811,800  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

209


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Technology (0.8%) - continued

 
 

Hewlett Packard Enterprise Company

 

$1,350,000

 

3.009%, (LIBOR 3M + 0.720%), 10/5/2021b

    $1,350,123  

565,000

 

4.400%, 10/15/2022

    598,522  
 

Inception Merger Sub, Inc.

 

720,000

 

8.625%, 11/15/2024g,l

    662,328  
 

Iron Mountain, Inc.

 

540,000

 

4.875%, 9/15/2029g

    548,262  
 

Marvell Technology Group, Ltd.

 

825,000

 

4.200%, 6/22/2023

    864,779  

1,090,000

 

4.875%, 6/22/2028

    1,210,825  
 

Microsoft Corporation

 

1,575,000

 

4.750%, 11/3/2055

    2,124,103  

1,575,000

 

4.200%, 11/3/2035

    1,884,408  

3,350,000

 

3.700%, 8/8/2046

    3,839,466  
 

NCR Corporation

 

860,000

 

6.125%, 9/1/2029g

    906,483  
 

NXP BV/NXP Funding, LLC

 

1,250,000

 

4.875%, 3/1/2024g

    1,355,556  
 

Oracle Corporation

 

2,765,000

 

2.950%, 5/15/2025

    2,876,198  

1,400,000

 

3.850%, 7/15/2036

    1,545,348  
 

Plantronics, Inc.

 

1,310,000

 

5.500%, 5/31/2023g

    1,313,275  
 

SS&C Technologies, Inc.

 

1,250,000

 

5.500%, 9/30/2027g

    1,306,281  
 

Texas Instruments, Inc.

 

1,380,000

 

4.150%, 5/15/2048

    1,692,410  
 

Tyco Electronics Group SA

 

284,000

 

3.450%, 8/1/2024

    296,598  

568,000

 

3.125%, 8/15/2027

    584,535  
 

 

 
  Total     43,356,058  
 

 

 

Transportation (0.2%)

 
 

Air Canada Pass Through Trust

 

217,316

 

3.875%, 3/15/2023g

    220,207  
 

Air Lease Corporation

 

435,000

 

3.500%, 1/15/2022

    446,163  
 

Boeing Company

 

1,600,000

 

3.600%, 5/1/2034

    1,735,852  
 

Burlington Northern Santa Fe, LLC

 

850,000

 

5.750%, 5/1/2040

    1,144,108  

1,285,000

 

5.050%, 3/1/2041

    1,608,083  

900,000

 

4.450%, 3/15/2043

    1,069,548  
 

CSX Corporation

 

900,000

 

3.350%, 9/15/2049

    879,907  
 

Delta Air Lines, Inc.

 

630,000

 

2.875%, 3/13/2020

    631,347  
 

Hertz Corporation

 

690,000

 

5.500%, 10/15/2024g

    691,035  
 

Penske Truck Leasing Company, LP

 

1,175,000

 

3.375%, 2/1/2022g

    1,199,252  
 

United Continental Holdings, Inc.

 

1,320,000

 

4.875%, 1/15/2025

    1,388,772  
 

XPO Logistics, Inc.

 

1,178,000

 

6.750%, 8/15/2024g

    1,275,185  
 

 

 
  Total     12,289,459  
 

 

 

U.S. Government & Agencies (13.1%)

 
 

U.S. Treasury Bonds

 

16,625,000

 

2.250%, 11/15/2027

    17,391,958  

34,750,000

 

2.875%, 5/15/2028

    38,146,270  

14,120,000

 

5.250%, 11/15/2028

    18,396,264  

1,075,000

 

4.375%, 5/15/2040

    1,512,978  

600,000

 

3.000%, 5/15/2042

    702,094  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

U.S. Government & Agencies (13.1%) - continued

 

$27,658,000

 

2.500%, 5/15/2046

    $29,810,138  

35,200,000

 

2.875%, 5/15/2049

    41,087,750  
 

U.S. Treasury Bonds, TIPS

 

54,443

 

2.375%, 1/15/2025

    60,618  

35,610

 

2.125%, 2/15/2040

    47,388  
 

U.S. Treasury Notes

 

14,000,000

 

1.000%, 10/15/2019

    13,994,116  

35,530,000

 

1.500%, 10/31/2019

    35,512,590  

22,270,000

 

1.750%, 11/30/2019

    22,258,646  

3,990,000

 

2.250%, 3/31/2020

    3,997,169  

69,580,000

 

1.375%, 9/30/2020

    69,278,305  

21,800,000

 

2.750%, 11/30/2020

    22,034,180  

715,000

 

1.875%, 12/15/2020

    715,642  

28,750,000

 

2.500%, 2/28/2021

    29,044,238  

10,250,000

 

1.375%, 5/31/2021

    10,192,344  

58,454,000

 

1.125%, 8/31/2021

    57,860,327  

2,000,000

 

2.500%, 1/15/2022

    2,038,750  

22,230,000

 

1.875%, 7/31/2022

    22,398,462  

53,180,000

 

2.000%, 11/30/2022

    53,855,137  

6,540,000

 

2.500%, 3/31/2023

    6,746,419  

65,780,000

 

2.500%, 1/31/2024

    68,331,544  

12,780,000

 

2.125%, 7/31/2024

    13,109,484  

18,910,000

 

2.250%, 11/15/2024

    19,533,439  

14,120,000

 

2.125%, 11/30/2024

    14,503,336  

35,925,000

 

2.625%, 1/31/2026

    38,102,953  

28,580,000

 

2.500%, 2/28/2026

    30,115,059  
 

 

 
  Total     680,777,598  
 

 

 

Utilities (1.1%)

 
 

Ameren Illinois Company

 

720,000

 

4.500%, 3/15/2049

    885,778  
 

American Electric Power Company, Inc.

 

1,722,000

 

2.950%, 12/15/2022

    1,756,852  
 

Appalachian Power Company

 

560,000

 

3.300%, 6/1/2027

    585,619  
 

Berkshire Hathaway Energy Company

 

900,000

 

4.500%, 2/1/2045

    1,068,618  
 

Calpine Corporation

 

1,310,000

 

5.375%, 1/15/2023

    1,326,375  
 

CenterPoint Energy, Inc.

 

435,000

 

3.850%, 2/1/2024

    459,042  

1,100,000

 

2.500%, 9/1/2024

    1,098,588  

750,000

 

4.250%, 11/1/2028

    824,348  
 

CMS Energy Corporation

 

840,000

 

2.950%, 2/15/2027

    847,107  
 

Commonwealth Edison Company

 

1,025,000

 

3.700%, 3/1/2045

    1,106,223  
 

Consolidated Edison Company of New York, Inc.

 

1,900,000

 

4.125%, 5/15/2049

    2,174,568  
 

Consolidated Edison, Inc.

 

384,000

 

4.500%, 12/1/2045

    455,773  
 

Consumers Energy Company

 

1,025,000

 

4.350%, 4/15/2049

    1,258,518  
 

DTE Electric Company

 

760,000

 

3.700%, 3/15/2045

    827,377  

890,000

 

3.700%, 6/1/2046

    956,514  
 

Duke Energy Carolinas, LLC

 

1,960,000

 

3.700%, 12/1/2047

    2,129,335  
 

Duke Energy Corporation

 

1,120,000

 

3.750%, 9/1/2046

    1,155,065  
 

Duke Energy Florida, LLC

 

775,000

 

3.200%, 1/15/2027

    812,674  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

210


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Utilities (1.1%) - continued

 
 

Duke Energy Indiana, LLC

 

$1,085,000

 

3.750%, 5/15/2046

    $1,166,447  
 

Edison International

 

290,000

 

2.950%, 3/15/2023

    290,624  

2,200,000

 

5.750%, 6/15/2027

    2,472,603  
 

Energy Transfer Operating, LP

 

1,380,000

 

5.200%, 2/1/2022

    1,456,353  
 

Eversource Energy

 

1,270,000

 

2.500%, 3/15/2021

    1,273,974  
 

Exelon Corporation

 

792,000

 

4.450%, 4/15/2046

    897,863  
 

FirstEnergy Corporation

 

350,000

 

2.850%, 7/15/2022

    355,327  

1,015,000

 

4.850%, 7/15/2047

    1,206,313  
 

ITC Holdings Corporation

 

284,000

 

4.050%, 7/1/2023

    298,948  

560,000

 

5.300%, 7/1/2043

    713,347  
 

MidAmerican Energy Holdings Company

 

1,586,000

 

6.500%, 9/15/2037

    2,231,082  
 

Mississippi Power Company

 

800,000

 

3.950%, 3/30/2028

    872,608  
 

Monongahela Power Company

 

780,000

 

5.400%, 12/15/2043g

    1,046,346  
 

National Rural Utilities Cooperative Finance Corporation

 

500,000

 

3.900%, 11/1/2028

    557,107  

1,000,000

 

3.700%, 3/15/2029

    1,105,495  
 

NextEra Energy Operating Partners, LP

 

1,260,000

 

3.875%, 10/15/2026g

    1,260,000  
 

NiSource Finance Corporation

 

560,000

 

3.490%, 5/15/2027

    587,521  

1,475,000

 

5.650%, 2/1/2045

    1,901,904  
 

Oncor Electric Delivery Company, LLC

 

2,240,000

 

3.750%, 4/1/2045

    2,470,225  
 

Pacific Gas and Electric Company

 

800,000

 

3.300%, 12/1/2027f,m

    792,000  

800,000

 

3.950%, 12/1/2047f,m

    774,000  
 

PPL Capital Funding, Inc.

 

1,275,000

 

5.000%, 3/15/2044

    1,489,292  
 

PPL Electric Utilities Corporation

 

840,000

 

3.950%, 6/1/2047

    954,944  
 

Public Service Electric & Gas Company

 

1,410,000

 

3.000%, 5/15/2027

    1,468,507  
 

San Diego Gas and Electric Company

 

1,450,000

 

4.150%, 5/15/2048

    1,652,217  
 

South Carolina Electric & Gas Company

 

1,560,000

 

5.100%, 6/1/2065

    2,085,205  
 

Southern California Edison Company

 

1,135,000

 

4.000%, 4/1/2047

    1,220,978  
 

Southern Company

 

1,415,000

 

3.250%, 7/1/2026

    1,461,924  

85,000

 

4.400%, 7/1/2046

    94,931  
 

Southern Company Gas Capital Corporation

 

1,400,000

 

4.400%, 5/30/2047

    1,581,167  
 

Southwestern Electric Power Company

 

460,000

 

3.900%, 4/1/2045

    485,910  
 

TerraForm Power Operating, LLC

 

1,340,000

 

5.000%, 1/31/2028g

    1,393,600  
Principal
Amount
  Long-Term Fixed Income (42.0%)   Value

 

 

Utilities (1.1%) - continued

 
 

Virginia Electric and Power Company

 

$750,000

 

4.600%, 12/1/2048

    $921,407  
 

 

 
  Total     58,268,543  
 

 

 
 
 

 

 
 

Total Long-Term Fixed Income

(cost $2,130,758,326)

    2,191,010,987  
 

 

 
Shares   Registered Investment Companies
(32.1%)
  Value

 

 

Unaffiliated (0.4%)

   

5,239

 

Consumer Discretionary Select Sector SPDR Fund

    632,347  

53,250

 

Invesco Senior Loan ETF

    1,202,918  

6,271

 

iShares Russell 2000 Value Index Fund

    748,820  

9,468

 

Materials Select Sector SPDR Fund

    551,038  

5,814

 

ProShares Ultra S&P 500l

    746,808  

41,435

 

SPDR S&P 500 ETF Trust

    12,296,665  

7,401

 

SPDR S&P Biotech ETFl

    564,326  

12,122

 

SPDR S&P Metals & Mining ETF

    308,505  

5,767

 

SPDR S&P Retail ETF

    244,694  

27,547

 

VanEck Vectors Oil Services ETF

    323,677  

48,244

 

Vanguard Real Estate ETF

    4,498,753  
 

 

 
  Total     22,118,551  
 

 

 

Affiliated (31.7%)

 

15,299,979

 

Thrivent Core Emerging Markets Debt Fund

    150,092,797  

5,287,377

 

Thrivent Core International Equity Fund

    49,754,221  

9,299,351

 

Thrivent Core Low Volatility Equity Fund

    112,708,135  

3,056,906

 

Thrivent Global Stock Portfolio

    39,329,544  

28,690,918

 

Thrivent High Yield Portfolio

    135,857,235  

39,348,965

 

Thrivent Income Portfolio

    416,229,419  

18,959,203

 

Thrivent International Allocation Portfolio

    179,664,994  

10,339,689

 

Thrivent Large Cap Value Portfolio

    183,996,835  

24,688,190

 

Thrivent Limited Maturity Bond Portfolio

    245,000,655  

5,154,158

 

Thrivent Mid Cap Stock Portfolio

    94,192,762  

2,627,460

 

Thrivent Small Cap Stock Portfolio

    46,705,472  
 

 

 
  Total     1,653,532,069  
 

 

 
   
 

 

 
  Total Registered Investment Companies (cost $1,538,308,029)     1,675,650,620  
 

 

 
Shares   Common Stock (18.6%)   Value

 

 

Communications Services (1.2%)

 

72,272

 

Activision Blizzard, Inc.

    3,824,634  

17,492

 

Alphabet, Inc., Class An

    21,360,181  

4,254

 

Alphabet, Inc., Class Cn

    5,185,626  

29,905

 

CBS Corporation

    1,207,265  

149,374

 

Comcast Corporation

    6,733,780  

11,992

 

DISH Network Corporationn

    408,568  

63,709

 

Facebook, Inc.n

    11,345,299  

2,250

 

Hemisphere Media Group, Inc.n

    27,495  

9,686

 

News Corporation

    138,461  

25,991

 

ORBCOMM, Inc.n

    123,717  

2,950

 

Scholastic Corporation

    111,392  

12,548

 

Take-Two Interactive Software, Inc.n

    1,572,766  

11,936

 

Twitter, Inc.n

    491,763  

162,880

 

Verizon Communications, Inc.

    9,831,437  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

211


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (18.6%)   Value  

 

 

Communications Services (1.2%) - continued

 
8,784  

Zillow Group, Inc.n

    $259,523  
 

 

 
  Total     62,621,907  
 

 

 

Consumer Discretionary (2.1%)

 
25,194  

Alibaba Group Holding, Ltd. ADRn

    4,213,193  
17,182  

Amazon.com, Inc.n

    29,826,406  
7,642  

American Axle & Manufacturing Holdings, Inc.n

    62,817  
24,556  

Aptiv plc

    2,146,686  
285  

Barrett Business Services, Inc.

    25,314  
964  

Booking Holdings, Inc.n

    1,891,956  
20,483  

BorgWarner, Inc.

    751,316  
28,339  

Bright Horizons Family Solutions, Inc.n

    4,321,698  
1,640  

Buckle, Inc.l

    33,784  
7,707  

Burlington Stores, Inc.n

    1,540,013  
24,005  

Canada Goose Holdings, Inc.l,n

    1,055,500  
4,169  

Century Casinos, Inc.n

    32,226  
12,065  

Children’s Place, Inc.l

    928,884  
1,972  

Chipotle Mexican Grill, Inc.n

    1,657,407  
3,098  

Cooper-Standard Holdings, Inc.n

    126,646  
18,112  

Crocs, Inc.n

    502,789  
9,559  

CSS Industries, Inc.

    37,949  
8,758  

Culp, Inc.

    142,755  
31,382  

D.R. Horton, Inc.

    1,654,145  
22,034  

Delphi Technologies plc

    295,256  
4,073  

Domino’s Pizza, Inc.

    996,215  
16,182  

Duluth Holdings, Inc.l,n

    137,223  
14,481  

Emerald Expositions Events, Inc.

    140,900  
8,959  

Ethan Allen Interiors, Inc.

    171,117  
9,140  

Etsy, Inc.n

    516,410  
12,870  

Five Below, Inc.n

    1,622,907  
172  

Genuine Parts Company

    17,129  
14,111  

G-III Apparel Group, Ltd.n

    363,640  
15,023  

Grand Canyon Education, Inc.n

    1,475,259  
51,583  

Harley-Davidson, Inc.

    1,855,441  
41,313  

Home Depot, Inc.

    9,585,442  
2,484  

Hooker Furniture Corporation

    53,257  
11,269  

International Game Technology plc

    160,132  
446  

Johnson Outdoors, Inc.

    26,118  
34,023  

Knoll, Inc.

    862,483  
58,721  

Lowe’s Companies, Inc.

    6,456,961  
2,549  

Lululemon Athletica, Inc.n

    490,759  
6,999  

Marcus Corporation

    259,033  
2,514  

McDonald’s Corporation

    539,781  
11,996  

Michaels Companies, Inc.n

    117,441  
9,847  

Modine Manufacturing Companyn

    111,960  
8,182  

Mohawk Industries, Inc.n

    1,015,141  
11,502  

Movado Group, Inc.

    285,940  
17,953  

Netflix, Inc.n

    4,804,582  
94,986  

NIKE, Inc.

    8,921,085  
24,392  

Norwegian Cruise Line Holdings, Ltd.n

    1,262,774  
50  

NVR, Inc.n

    185,868  
17,743  

Ollie’s Bargain Outlet Holdings, Inc.n

    1,040,450  
1,670  

O’Reilly Automotive, Inc.n

    665,512  
7,315  

Oxford Industries, Inc.

    524,486  
13,154  

Park Hotels & Resorts, Inc.

    328,455  
25,729  

Planet Fitness, Inc.n

    1,488,937  
80,709  

Playa Hotels and Resorts NVn

    631,951  
65,531  

Red Rock Resorts, Inc.

    1,330,607  
3,287  

RHl,n

    561,518  
8,387  

Ruth’s Hospitality Group, Inc.

    171,221  
20,240  

Sony Corporation ADR

    1,196,791  
9,457  

Standard Motor Products, Inc.

    459,137  
45,732  

Starbucks Corporation

    4,043,623  
Shares   Common Stock (18.6%)   Value  

 

 

Consumer Discretionary (2.1%) - continued

 
1,032  

Steven Madden, Ltd.

    $36,935  
1,261  

Strategic Education, Inc.

    171,345  
7,101  

Texas Roadhouse, Inc.

    372,945  
31,685  

Toll Brothers, Inc.

    1,300,669  
5,879  

Tupperware Brands Corporation

    93,300  
5,386  

Ulta Beauty, Inc.n

    1,350,001  
5,764  

Vail Resorts, Inc.

    1,311,656  
5,076  

Wingstop, Inc.

    443,033  
12,082  

Zumiez, Inc.n

    382,697  
 

 

 
  Total     111,587,007  
 

 

 

Consumer Staples (0.7%)

 
3,409  

Calavo Growers, Inc.l

    324,469  
13,685  

Casey’s General Stores, Inc.

    2,205,475  
11,007  

Central Garden & Pet Companyn

    321,735  
1,960  

Central Garden & Pet Company, Class An

    54,341  
37,971  

Coca-Cola Company

    2,067,141  
39,383  

Colgate-Palmolive Company

    2,895,044  
2,446  

Costco Wholesale Corporation

    704,717  
64,335  

Cott Corporation

    802,257  
205  

Grocery Outlet Holding Corporationn

    7,109  
53,560  

Hain Celestial Group, Inc.n

    1,150,201  
212  

Inter Parfums, Inc.

    14,834  
7,093  

John B. Sanfilippo & Son, Inc.

    685,184  
13,260  

Kimberly-Clark Corporation

    1,883,583  
73,507  

Monster Beverage Corporationn

    4,267,816  
23,155  

PepsiCo, Inc.

    3,174,550  
53,658  

Philip Morris International, Inc.

    4,074,252  
25,287  

Procter & Gamble Company

    3,145,197  
2,470  

Seneca Foods Corporationn

    77,015  
79,826  

SunOpta, Inc.n

    143,687  
7,030  

TreeHouse Foods, Inc.n

    389,813  
37,048  

Turning Point Brands, Inc.

    854,327  
59,622  

Wal-Mart Stores, Inc.

    7,075,939  
 

 

 
  Total     36,318,686  
 

 

 

Energy (0.5%)

 
23,163  

Abraxas Petroleum Corporationn

    11,755  
101,249  

Archrock, Inc.

    1,009,453  
78,938  

BP plc ADRl

    2,998,855  
62,653  

Chevron Corporation

    7,430,646  
5,275  

Concho Resources, Inc.

    358,173  
23,750  

Contura Energy, Inc.n

    664,050  
10,026  

Diamondback Energy, Inc.

    901,438  
5,574  

Dril-Quip, Inc.n

    279,703  
3,439  

Enterprise Products Partners, LP

    98,287  
17,618  

EQT Corporation

    187,456  
7,910  

Era Group, Inc.n

    83,530  
99,617  

Euronav NV

    916,476  
1,994  

Evolution Petroleum Corporation

    11,645  
15,078  

Exterran Corporationn

    196,919  
1,317  

Exxon Mobil Corporation

    92,993  
19,547  

Frank’s International NVn

    92,848  
36,161  

Gran Tierra Energy, Inc.n

    45,201  
12,958  

Gulfport Energy Corporationn

    35,116  
67,677  

Halliburton Company

    1,275,711  
18,551  

Liberty Oilfield Services, Inc.l

    200,907  
206,738  

Marathon Oil Corporation

    2,536,675  
57,927  

Marathon Petroleum Corporation

    3,519,065  
485  

Matrix Service Companyn

    8,313  
104,752  

Nabors Industries, Ltd.

    195,886  
42,412  

Nine Energy Service, Inc.n

    261,682  
48,660  

Oceaneering International, Inc.n

    659,343  
15,171  

Oil States International, Inc.n

    201,774  
41,070  

Pacific Drilling SAl,n

    160,584  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

212


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (18.6%)   Value  

 

 

Energy (0.5%) - continued

 
32,780  

Patterson-UTI Energy, Inc.

    $280,269  
18,536  

Pioneer Natural Resources Company

    2,331,273  
433  

REX American Resources Corporationn

    33,051  
4,044  

SEACOR Holdings, Inc.n

    190,351  
3,762  

Select Energy Services, Inc.n

    32,579  
25,883  

Talos Energy, Inc.n

    526,201  
22,049  

TechnipFMC plc

    532,263  
2,130  

U.S. Silica Holdings, Inc.

    20,363  
6,268  

Unit Corporationn

    21,186  
26,980  

WPX Energy, Inc.n

    285,718  
 

 

 
  Total     28,687,738  
 

 

 

Financials (2.9%)

 
397  

1st Source Corporation

    18,155  
54,090  

Aflac, Inc.

    2,829,989  
13,829  

AG Mortgage Investment Trust, Inc.

    209,509  
1,846  

Alleghany Corporationn

    1,472,665  
18,689  

Ally Financial, Inc.

    619,727  
4,140  

American Express Company

    489,679  
47,343  

American Financial Group, Inc.

    5,105,943  
32,509  

American International Group, Inc.

    1,810,751  
11,878  

Ameriprise Financial, Inc.

    1,747,254  
8,343  

Ameris Bancorp

    335,722  
7,960  

Argo Group International Holdings, Ltd.

    559,110  
11,848  

Arthur J. Gallagher & Company

    1,061,225  
2,700  

Artisan Partners Asset Management, Inc.

    76,248  
39,781  

Assured Guaranty, Ltd.

    1,768,663  
377,303  

Bank of America Corporation

    11,005,928  
2,279  

Bank of Marin Bancorp

    94,556  
8,751  

BankFinancial Corporation

    104,137  
3,517  

Banner Corporation

    197,550  
7,680  

Berkshire Hathaway, Inc.n

    1,597,594  
3,343  

BlackRock, Inc.

    1,489,775  
5,720  

BOK Financial Corporation

    452,738  
49,433  

Boston Private Financial Holdings, Inc.

    576,142  
17,588  

Bridgewater Bancshares, Inc.n

    210,001  
129,703  

BrightSphere Investment Group

    1,285,357  
9,281  

Brown & Brown, Inc.

    334,673  
3,984  

Byline Bancorp, Inc.n

    71,234  
45,689  

Capital One Financial Corporation

    4,156,785  
9,820  

Cboe Global Markets, Inc.

    1,128,416  
1,898  

Central Pacific Financial Corporation

    53,903  
82,022  

Charles Schwab Corporation

    3,430,980  
17,158  

Chubb, Ltd.

    2,769,988  
4,991  

Cincinnati Financial Corporation

    582,300  
119,030  

Citigroup, Inc.

    8,222,592  
13,550  

Citizens Financial Group, Inc.

    479,263  
10,349  

Cohen & Steers, Inc.

    568,471  
11,912  

Colony Capital, Inc.

    71,710  
35,109  

Comerica, Inc.

    2,316,843  
17,556  

Community Trust Bancorp, Inc.

    747,534  
142  

Diamond Hill Investment Group, Inc.

    19,614  
13,937  

Discover Financial Services

    1,130,151  
22,606  

Dynex Capital, Inc.

    334,117  
50,263  

E*TRADE Financial Corporation

    2,195,990  
6,502  

East West Bancorp, Inc.

    287,974  
7,138  

Ellington Residential Mortgage REIT

    75,235  
7,371  

Enterprise Financial Services Corporation

    300,368  
7,774  

Essent Group, Ltd.

    370,587  
3,357  

FBL Financial Group, Inc.

    199,775  
Shares   Common Stock (18.6%)   Value  

 

 

Financials (2.9%) - continued

 
965  

Federal Agricultural Mortgage Corporation

    $78,802  
153,927  

Fifth Third Bancorp

    4,214,521  
10,228  

Financial Institutions, Inc.

    308,681  
15,212  

First American Financial Corporation

    897,660  
533  

First Bancorp

    19,135  
20,649  

First Busey Corporation

    522,007  
5,954  

First Citizens BancShares, Inc.

    2,807,609  
23,222  

First Defiance Financial Corporation

    672,625  
7,777  

First Financial Corporation

    338,066  
16,797  

First Hawaiian, Inc.

    448,480  
16,703  

First Interstate BancSystem, Inc.

    672,129  
838  

First Mid-Illinois Bancshares, Inc.

    29,012  
9,157  

First Midwest Bancorp, Inc.

    178,378  
1,411  

First of Long Island Corporation

    32,100  
9,064  

First Republic Bank

    876,489  
5,256  

Goldman Sachs Group, Inc.

    1,089,201  
17,049  

Great Southern Bancorp, Inc.

    970,941  
12,697  

Hamilton Lane, Inc.

    723,221  
2,386  

Hancock Whitney Corporation

    91,372  
9,741  

Hanover Insurance Group, Inc.

    1,320,295  
85,576  

Hartford Financial Services Group, Inc.

    5,186,761  
11,579  

Heartland Financial USA, Inc.

    518,044  
63,450  

Heritage Commerce Corporation

    745,855  
13,772  

Hometrust Bancshares, Inc.

    359,036  
10,716  

Horace Mann Educators Corporation

    496,472  
16,039  

Horizon Bancorp, Inc.

    278,437  
5,674  

Houlihan Lokey, Inc.

    255,897  
22,776  

IBERIABANK Corporation

    1,720,499  
15,884  

Independent Bank Corporation

    338,567  
14,701  

Interactive Brokers Group, Inc.

    790,620  
77,599  

Intercontinental Exchange, Inc.

    7,160,060  
4,205  

International Bancshares Corporation

    162,397  
48,494  

J.P. Morgan Chase & Company

    5,707,259  
4,643  

Kemper Corporation

    361,922  
35,753  

KeyCorp

    637,834  
1,802  

KKR Real Estate Finance Trust, Inc.

    35,193  
7,605  

Lakeland Bancorp, Inc.

    117,345  
14,220  

Loews Corporation

    732,046  
4,992  

M&T Bank Corporation

    788,586  
547  

Markel Corporationn

    646,499  
2,700  

Mercantile Bank Corporation

    88,560  
30,434  

Meridian Bancorp, Inc.

    570,637  
47,335  

MetLife, Inc.

    2,232,319  
24,039  

MidWestOne Financial Group, Inc.

    733,670  
1,582  

Moody’s Corporation

    324,041  
39,729  

Morgan Stanley

    1,695,236  
4,467  

MSCI, Inc.

    972,689  
206  

National Western Life Group, Inc.

    55,284  
4,295  

Newmark Group, Inc.

    38,913  
20,517  

Northern Trust Corporation

    1,914,646  
7,778  

Old Second Bancorp, Inc.

    95,047  
2,884  

Opus Bank

    62,785  
4,077  

PacWest Bancorp

    148,158  
30,543  

PCSB Financial Corporation

    610,555  
934  

Peapack-Gladstone Financial Corporation

    26,180  
2,742  

Peoples Bancorp, Inc.

    87,223  
9,349  

Popular, Inc.

    505,594  
4,312  

Primerica, Inc.

    548,616  
29,133  

Prosight Global, Inc.n

    564,015  
15,530  

Prudential Financial, Inc.

    1,396,923  
11,474  

QCR Holdings, Inc.

    435,783  
17,175  

Radian Group, Inc.

    392,277  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

213


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (18.6%)   Value  

 

 

Financials (2.9%) - continued

 
48,476  

Raymond James Financial, Inc.

    $3,997,331  
9,189  

Reinsurance Group of America, Inc.

    1,469,137  
15,798  

S&P Global, Inc.

    3,870,194  
528  

S&T Bancorp, Inc.

    19,288  
12,594  

Sandy Spring Bancorp, Inc.

    424,544  
34,945  

Santander Consumer USA Holdings, Inc.

    891,447  
32,308  

Seacoast Banking Corporation of Floridan

    817,715  
15,618  

SEI Investments Company

    925,445  
112,613  

SLM Corporation

    993,810  
10,086  

State Auto Financial Corporation

    326,686  
14,768  

State Street Corporation

    874,118  
1,796  

Stifel Financial Corporation

    103,054  
7,123  

SVB Financial Groupn

    1,488,351  
26,612  

Synovus Financial Corporation

    951,645  
3,360  

Territorial Bancorp, Inc.

    96,029  
4,248  

TPG RE Finance Trust, Inc.

    84,280  
8,013  

TriCo Bancshares

    290,872  
47,567  

TrustCo Bank Corporation

    387,671  
81,905  

U.S. Bancorp

    4,532,623  
13,754  

United Community Banks, Inc.

    389,926  
1,178  

Univest Financial Corporation

    30,051  
268  

Virtus Investment Partners, Inc.

    29,633  
2,287  

Walker & Dunlop, Inc.

    127,912  
5,422  

Washington Trust Bancorp, Inc.

    261,937  
1,490  

WesBanco, Inc.

    55,681  
2,108  

Western Alliance Bancorp

    97,137  
494  

Westwood Holdings Group, Inc.

    13,669  
1,081  

Willis Towers Watson plc

    208,601  
27,903  

Wintrust Financial Corporation

    1,803,371  
94,220  

Zions Bancorporations NA

    4,194,674  
 

 

 
  Total     151,552,957  
 

 

 

Health Care (2.6%)

 
62,418  

Abbott Laboratories

    5,222,514  
1,719  

ABIOMED, Inc.n

    305,793  
6,597  

Aerie Pharmaceuticals, Inc.l,n

    126,794  
24,072  

Agilent Technologies, Inc.

    1,844,637  
15,809  

Agios Pharmaceuticals, Inc.l,n

    512,212  
4,166  

Alexion Pharmaceuticals, Inc.n

    408,018  
6,022  

AmerisourceBergen Corporation

    495,791  
14,848  

Amgen, Inc.

    2,873,237  
1,146  

AngioDynamics, Inc.n

    21,109  
2,380  

Arena Pharmaceuticals, Inc.n

    108,933  
220  

Atrion Corporation

    171,417  
7,928  

Axonics Modulation Technologies, Inc.n

    213,422  
13,727  

Bausch Health Companies, Inc.n

    299,935  
2,112  

Becton, Dickinson and Company

    534,252  
3,482  

Biogen, Inc.n

    810,679  
9,463  

BioMarin Pharmaceutical, Inc.n

    637,806  
1,466  

Bio-Rad Laboratories, Inc.n

    487,797  
10,715  

Bio-Techne Corporation

    2,096,604  
18,517  

Bruker Corporation

    813,452  
31,637  

Catalent, Inc.n

    1,507,819  
6,951  

Charles River Laboratories International, Inc.n

    920,104  
826  

Chemed Corporation

    344,913  
6,962  

Cigna Holding Company

    1,056,762  
2,829  

Concert Pharmaceuticals, Inc.n

    16,635  
19,009  

CryoLife, Inc.n

    516,094  
74,103  

CVS Health Corporation

    4,673,676  
17,497  

Danaher Corporation

    2,527,092  
6,127  

Dexcom, Inc.n

    914,394  
24,158  

Edwards Lifesciences Corporationn

    5,312,586  
Shares   Common Stock (18.6%)   Value  

 

 

Health Care (2.6%) - continued

 

1,416  

Enanta Pharmaceuticals, Inc.n

    $85,073  
16,185  

GenMark Diagnostics, Inc.n

    98,081  
94,747  

Gilead Sciences, Inc.

    6,005,065  
46,219  

Halozyme Therapeutics, Inc.n

    716,857  
4,625  

HealthStream, Inc.n

    119,741  
10,551  

Hill-Rom Holdings, Inc.

    1,110,282  
2,296  

Humana, Inc.

    587,018  
228  

IDEXX Laboratories, Inc.n

    62,000  
12,214  

Illumina, Inc.n

    3,715,743  
5,005  

Immunomedics, Inc.n

    66,366  
9,066  

Inspire Medical Systems, Inc.n

    553,207  
2,797  

Insulet Corporationn

    461,309  
10,743  

Intuitive Surgical, Inc.n

    5,800,468  
8,144  

Jazz Pharmaceuticals, Inc.n

    1,043,572  
72,776  

Johnson & Johnson

    9,415,759  
1,480  

Laboratory Corporation of America Holdingsn

    248,640  
11,511  

LHC Group, Inc.n

    1,307,189  
4,332  

Ligand Pharmaceuticals, Inc.n

    431,207  
470  

Magellan Health Services, Inc.n

    29,187  
153  

Masimo Corporationn

    22,765  
3,437  

McKesson Corporation

    469,700  
80,271  

Medtronic plc

    8,719,036  
105,706  

Merck & Company, Inc.

    8,898,331  
15,932  

Natera, Inc.n

    522,570  
7,227  

National Healthcare Corporation

    591,530  
6,139  

Neurocrine Biosciences, Inc.n

    553,185  
1,854  

Nevro Corporationn

    159,388  
18,031  

NextGen Healthcare, Inc.n

    282,546  
1,892  

Novocure, Ltd.n

    141,484  
3,263  

NuVasive, Inc.n

    206,809  
44,926  

Optinose, Inc.l,n

    314,482  
2,083  

Orthifix Medical, Inc.n

    110,441  
2,938  

PerkinElmer, Inc.

    250,230  
73,528  

Pfizer, Inc.

    2,641,861  
458  

Phibro Animal Health Corporation

    9,769  
626  

Providence Service Corporationn

    37,222  
3,841  

Repligen Corporationn

    294,566  
6,822  

ResMed, Inc.

    921,720  
3,986  

Sage Therapeutics, Inc.n

    559,196  
3,203  

Sarepta Therapeutics, Inc.n

    241,250  
16,289  

Syneos Health, Inc.n

    866,738  
10,307  

Tactile Systems Technology, Inc.l,n

    436,192  
6,038  

Teleflex, Inc.

    2,051,411  
22,311  

Thermo Fisher Scientific, Inc.

    6,498,525  
935  

U.S. Physical Therapy, Inc.

    122,064  
50,413  

UnitedHealth Group, Inc.

    10,955,753  
3,213  

Universal Health Services, Inc.

    477,934  
4,615  

Varian Medical Systems, Inc.n

    549,600  
16,983  

Veeva Systems, Inc.n

    2,593,134  
24,976  

Vertex Pharmaceuticals, Inc.n

    4,231,434  
1,699  

Waters Corporationn

    379,268  
1,888  

West Pharmaceutical Services, Inc.

    267,756  
111,200  

Wright Medical Group NVn

    2,294,056  
64,254  

Zoetis, Inc.

    8,005,406  
 

 

 
  Total     133,308,593  
 

 

 

Industrials (2.6%)

 

10,429  

A.O. Smith Corporation

    497,568  
28,418  

Acco Brands Corporation

    280,486  
341  

Actuant Corporation

    7,482  
6,786  

Aegion Corporationn

    145,085  
8,402  

Aerojet Rocketdyne Holdings, Inc.n

    424,385  
18,260  

AGCO Corporation

    1,382,282  
28,981  

Altra Industrial Motion Corporation

    802,629  
34,513  

AMETEK, Inc.

    3,168,984  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

214


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (18.6%)   Value  

 

 

Industrials (2.6%) - continued

 
17,501  

Arcosa, Inc.

    $598,709  
19,862  

ASGN, Inc.n

    1,248,525  
40,039  

AZZ, Inc.

    1,744,099  
5,494  

Boeing Company

    2,090,302  
19,135  

BWX Technologies, Inc.

    1,094,713  
3,315  

Cactus, Inc.n

    95,936  
4,033  

Carlisle Companies, Inc.

    586,963  
12,212  

Casella Waste Systems, Inc.n

    524,383  
71,530  

CBIZ, Inc.n

    1,680,955  
179  

Chase Corporation

    19,581  
2,321  

Columbus McKinnon Corporation

    84,554  
38,656  

Costamare, Inc.

    234,642  
6,063  

CRA International, Inc.

    254,464  
25,718  

Crane Company

    2,073,642  
17,105  

CSW Industrials, Inc.

    1,180,758  
22,977  

CSX Corporation

    1,591,617  
26,517  

Curtiss-Wright Corporation

    3,430,504  
64,800  

Delta Air Lines, Inc.

    3,732,480  
12,186  

Douglas Dynamics, Inc.

    543,130  
43,457  

EMCOR Group, Inc.

    3,742,517  
23,594  

Emerson Electric Company

    1,577,495  
15,495  

Encore Wire Corporation

    872,059  
971  

Ennis, Inc.

    19,624  
3,750  

ESCO Technologies, Inc.

    298,350  
10,842  

Expeditors International of Washington, Inc.

    805,452  
2,555  

Federal Signal Corporation

    83,651  
16,804  

Forrester Research, Inc.

    540,081  
24,940  

General Dynamics Corporation

    4,557,286  
7,005  

Gorman-Rupp Company

    243,704  
7,965  

Granite Construction, Inc.

    255,915  
9,915  

Healthcare Services Group, Inc.

    240,835  
2,067  

Heico Corporation

    258,127  
769  

Heidrick & Struggles International, Inc.

    20,994  
1,208  

Herc Holdings, Inc.n

    56,184  
6,231  

HNI Corporation

    221,200  
80,663  

Honeywell International, Inc.

    13,648,180  
11,575  

Hubbell, Inc.

    1,520,955  
3,712  

Huntington Ingalls Industries, Inc.

    786,164  
2,913  

Huron Consulting Group, Inc.n

    178,683  
1,776  

Hyster-Yale Materials Handling, Inc.

    97,200  
19,133  

ICF International, Inc.

    1,616,164  
19,079  

IDEX Corporation

    3,126,666  
30,241  

Ingersoll-Rand plc

    3,725,994  
61,716  

Interface, Inc.

    891,179  
45,838  

Johnson Controls International plc

    2,011,830  
5,726  

Kelly Services, Inc.

    138,684  
14,759  

Kforce, Inc.

    558,407  
6,733  

Kratos Defense & Security Solutions, Inc.n

    125,200  
16,224  

Lincoln Electric Holdings, Inc.

    1,407,594  
15,266  

Lockheed Martin Corporation

    5,954,656  
24,874  

Masonite International Corporationn

    1,442,692  
785  

Matthews International Corporation

    27,781  
5,635  

Mercury Systems, Inc.n

    457,393  
1,959  

Mobile Mini, Inc.

    72,209  
32,870  

MRC Global, Inc.n

    398,713  
17,536  

Mueller Industries, Inc.

    502,932  
32,994  

Norfolk Southern Corporation

    5,927,702  
8,035  

Old Dominion Freight Line, Inc.

    1,365,709  
17,806  

Parker Hannifin Corporation

    3,215,942  
45,620  

Primoris Services Corporation

    894,608  
11,451  

Raven Industries, Inc.

    383,150  
11,461  

Regal-Beloit Corporation

    834,934  
6,750  

Resources Connection, Inc.

    114,682  
Shares   Common Stock (18.6%)   Value  

 

 

Industrials (2.6%) - continued

 
38,913  

Ritchie Brothers Auctioneers, Inc.

    $1,552,629  
2,689  

Rockwell Automation, Inc.

    443,147  
7,234  

Roper Industries, Inc.

    2,579,644  
1,511  

Rush Enterprises, Inc.

    58,294  
7,882  

Saia, Inc.n

    738,543  
3,779  

SiteOne Landscape Supply, Inc.n

    279,722  
40,664  

Southwest Airlines Company

    2,196,263  
14,786  

SP Plus Corporationn

    547,082  
16,421  

SPX FLOW, Inc.n

    647,973  
23,452  

Standex International Corporation

    1,710,589  
14,242  

Teledyne Technologies, Inc.n

    4,585,782  
2,195  

Tennant Company

    155,186  
3,807  

Thermon Group Holdings, Inc.n

    87,485  
1,523  

TransDigm Group, Inc.

    792,980  
34,104  

TriMas Corporationn

    1,045,288  
2,699  

TrueBlue, Inc.n

    56,949  
4,828  

UniFirst Corporation

    942,039  
6,107  

United Airlines Holdings, Inc.n

    539,920  
7,627  

United Rentals, Inc.n

    950,629  
60,355  

United Technologies Corporation

    8,239,665  
19,930  

Valmont Industries, Inc.

    2,759,109  
875  

Vectrus, Inc.n

    35,569  
27,550  

Verisk Analytics, Inc.

    4,356,757  
4,292  

Viad Corporation

    288,208  
15,035  

Waste Connections, Inc.

    1,383,220  
2,664  

Watsco, Inc.

    450,696  
16,635  

Willdan Group, Inc.n

    583,556  
501  

Woodward, Inc.

    54,023  
12,374  

Xylem, Inc.

    985,218  
 

 

 
  Total     133,784,500  
 

 

 

Information Technology (4.6%)

 
11,503  

Accenture plc

    2,212,602  
15,269  

ADTRAN, Inc.

    173,227  
5,348  

Advanced Energy Industries, Inc.n

    307,029  
60,051  

Advanced Micro Devices, Inc.n

    1,740,878  
22,001  

Akamai Technologies, Inc.n

    2,010,451  
3,785  

Alliance Data Systems Corporation

    484,972  
2,594  

Alteryx, Inc.n

    278,673  
610  

Altisource Portfolio Solutions SAn

    12,334  
3,355  

American Software, Inc.

    50,392  
44,827  

Amphenol Corporation

    4,325,805  
4,550  

ANSYS, Inc.n

    1,007,188  
102,434  

Apple, Inc.

    22,942,143  
7,123  

Arista Networks, Inc.n

    1,701,827  
4,129  

Atkore International Group, Inc.n

    125,315  
6,313  

Atlassian Corporation plcn

    791,903  
14,920  

Automatic Data Processing, Inc.

    2,408,386  
5,981  

Avalara, Inc.n

    402,461  
953  

Badger Meter, Inc.

    51,176  
28,241  

Benchmark Electronics, Inc.

    820,683  
16,755  

Blackline, Inc.n

    801,057  
7,266  

Booz Allen Hamilton Holding Corporation

    516,031  
941  

Broadridge Financial Solutions, Inc.

    117,089  
1,071  

CACI International, Inc.n

    247,679  
27,501  

CDK Global, Inc.

    1,322,523  
6,449  

CDW Corporation

    794,775  
1,747  

CEVA, Inc.n

    52,165  
48,920  

Ciena Corporationn

    1,919,132  
378,077  

Cisco Systems, Inc.

    18,680,785  
32,787  

Clearwater Energy, Inc.

    568,527  
4,056  

Cognex Corporation

    199,271  
16,385  

Cohu, Inc.

    221,279  
7,611  

Computer Services, Inc.

    346,301  
5,185  

CoreLogic, Inc.n

    239,910  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

215


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (18.6%)   Value  

 

 

Information Technology (4.6%) - continued

 
13,417  

Coupa Software, Inc.n

    $1,738,441  
12,593  

CTS Corporation

    407,509  
7,999  

Descartes Systems Group, Inc.n

    322,440  
35,900  

DocuSign, Inc.n

    2,222,928  
74,993  

Dolby Laboratories, Inc.

    4,847,548  
5,533  

DSP Group, Inc.n

    77,932  
9,069  

Ebix, Inc.l

    381,805  
15,780  

Elastic NVn

    1,299,325  
4,416  

EPAM Systems, Inc.n

    805,125  
5,667  

ePlus, Inc.n

    431,202  
7,467  

Euronet Worldwide, Inc.n

    1,092,422  
7,591  

ExlService Holdings, Inc.n

    508,293  
1,851  

eXp World Holdings, Inc.n

    15,511  
4,631  

Fair Isaac Corporationn

    1,405,601  
22,388  

Fiserv, Inc.n

    2,319,173  
9,590  

Five9, Inc.n

    515,367  
10,931  

Global Payments, Inc.

    1,738,029  
16,900  

Guidewire Software, Inc.n

    1,780,922  
2,838  

InterDigital, Inc.

    148,910  
1,183  

International Business Machines Corporation

    172,032  
2,625  

International Money Express, Inc.n

    36,068  
19,216  

Intuit, Inc.

    5,110,303  
9,953  

Keysight Technologies, Inc.n

    967,929  
5,786  

KLA-Tencor Corporation

    922,578  
10,436  

Kulicke and Soffa Industries, Inc.

    245,037  
6,134  

Lam Research Corporation

    1,417,629  
28,355  

Lattice Semiconductor Corporationn

    518,471  
3,662  

ManTech International Corporation

    261,503  
48,636  

MasterCard, Inc.

    13,208,079  
14,263  

Methode Electronics, Inc.

    479,807  
271,398  

Microsoft Corporation

    37,732,464  
10,450  

MicroStrategy, Inc.n

    1,550,467  
2,909  

MKS Instruments, Inc.

    268,443  
18,475  

Monolithic Power Systems, Inc.

    2,875,264  
6,650  

MTS Systems Corporation

    367,413  
18,046  

National Instruments Corporation

    757,752  
5,118  

New Relic, Inc.n

    314,501  
19,685  

NIC, Inc.

    406,495  
10,514  

Nice, Ltd. ADRn

    1,511,913  
7,103  

Nova Measuring Instruments, Ltd.n

    225,662  
3,674  

Novanta, Inc.n

    300,239  
23,229  

NVIDIA Corporation

    4,043,472  
75,124  

Oracle Corporation

    4,134,074  
6,625  

Palo Alto Networks, Inc.n

    1,350,374  
74,681  

PayPal Holdings, Inc.n

    7,736,205  
3,994  

Plantronics, Inc.

    149,056  
14,707  

Plexus Corporationn

    919,335  
6,202  

Progress Software Corporation

    236,048  
7,398  

Proofpoint, Inc.n

    954,712  
5,785  

Q2 Holdings, Inc.n

    456,263  
9,607  

QAD, Inc.

    443,651  
23,911  

QUALCOMM, Inc.

    1,823,931  
39,978  

Rambus, Inc.n

    524,711  
10,739  

Rogers Corporationn

    1,468,129  
44,126  

SailPoint Technologies Holdings, Inc.n

    824,715  
40,098  

Salesforce.com, Inc.n

    5,952,147  
1,971  

Samsung Electronics Company, Ltd. GDR

    2,008,214  
7,801  

ScanSource, Inc.n

    238,321  
8,960  

ServiceNow, Inc.n

    2,274,496  
4,124  

Silicon Laboratories, Inc.n

    459,207  
36,730  

Square, Inc.n

    2,275,424  
4,853  

Sykes Enterprises, Inc.n

    148,696  
33,851  

Synopsys, Inc.n

    4,646,050  
26,242  

TE Connectivity, Ltd.

    2,445,230  
Shares   Common Stock (18.6%)   Value  

 

 

Information Technology (4.6%) - continued

 
9,226  

Teradata Corporationn

    $286,006  
9,304  

Teradyne, Inc.

    538,795  
77,791  

Texas Instruments, Inc.

    10,053,709  
7,922  

Tyler Technologies, Inc.n

    2,079,525  
8,099  

VeriSign, Inc.n

    1,527,714  
23,114  

Virtusa Corporationn

    832,566  
80,786  

Visa, Inc.

    13,896,000  
7,100  

WEX, Inc.n

    1,434,697  
10,210  

Workday, Inc.n

    1,735,292  
9,411  

Xilinx, Inc.

    902,515  
 

 

 
  Total     238,381,781  
 

 

 

Materials (0.6%)

 
54,208  

Alcoa Corporationn

    1,087,955  
1,597  

Avery Dennison Corporation

    181,371  
3,690  

Balchem Corporation

    366,011  
7,381  

Ball Corporation

    537,411  
8,746  

Boise Cascade Company

    285,032  
6,594  

Celanese Corporation

    806,380  
55,596  

CF Industries Holdings, Inc.

    2,735,323  
2,800  

Continental Building Products, Inc.n

    76,412  
45,604  

Eastman Chemical Company

    3,366,943  
26,244  

Ecolab, Inc.

    5,197,362  
26,619  

Ferro Corporationn

    315,701  
19,660  

Ferroglobe Representation & Warranty Insurance Trustc,n

    2  
774  

Innophos Holdings, Inc.

    25,124  
14,273  

Innospec, Inc.

    1,272,295  
10,328  

Kadant, Inc.

    906,695  
18,658  

Kaiser Aluminum Corporation

    1,846,582  
7,328  

Kraton Performance Polymers, Inc.n

    236,621  
47,019  

Louisiana-Pacific Corporation

    1,155,727  
6,554  

Martin Marietta Materials, Inc.

    1,796,451  
10,132  

Materion Corporation

    621,700  
2,294  

Minerals Technologies, Inc.

    121,789  
16,685  

Myers Industries, Inc.

    294,490  
7,419  

Neenah, Inc.

    483,125  
22,828  

Nucor Corporation

    1,162,174  
27,717  

Nutanix, Inc.n

    727,571  
2,143  

Olympic Steel, Inc.

    30,859  
2,456  

PH Glatfelter Company

    37,798  
9,840  

PPG Industries, Inc.

    1,166,138  
8,575  

Reliance Steel & Aluminum Company

    854,585  
10,505  

Ryerson Holding Corporationn

    89,608  
18,921  

Schweitzer-Mauduit International, Inc.

    708,402  
12,162  

Steel Dynamics, Inc.

    362,428  
5,383  

SunCoke Energy, Inc.n

    30,360  
5,379  

United States Lime & Minerals, Inc.

    411,494  
9,695  

Verso Corporationn

    120,024  
1,481  

W. R. Grace & Company

    98,872  
 

 

 
  Total     29,516,815  
 

 

 

Real Estate (0.6%)

 
1,843  

Acadia Realty Trust

    52,673  
7,362  

Agree Realty Corporation

    538,530  
8,070  

Alexander & Baldwin, Inc.

    197,796  
3,546  

Alexandria Real Estate Equities, Inc.

    546,226  
342  

American Assets Trust, Inc.

    15,985  
32,188  

American Campus Communities, Inc.

    1,547,599  
20,096  

American Tower Corporation

    4,443,828  
5,589  

Apartment Investment & Management Company

    291,410  
21,346  

Apple Hospitality REIT, Inc.

    353,917  
4,794  

Ares Commercial Real Estate Corporation

    73,013  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

216


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (18.6%)   Value  

 

 

Real Estate (0.6%) - continued

 
6,486  

Armada Hoffler Properties, Inc.

    $117,332  
17,705  

Ashford Hospitality Trust, Inc.

    58,604  
2,650  

BBX Capital Corporation

    12,375  
1,924  

Bluerock Residential Growth REIT, Inc.

    22,645  
3,631  

Brandywine Realty Trust

    55,010  
25,607  

Brixmor Property Group, Inc.

    519,566  
9,676  

Camden Property Trust

    1,074,133  
714  

CareTrust REIT, Inc.

    16,783  
29,533  

CBL & Associates Properties, Inc.

    38,098  
31,063  

Cedar Realty Trust, Inc.

    93,189  
7,278  

Chatham Lodging Trust

    132,096  
4,980  

City Office REIT, Inc.

    71,662  
685  

Columbia Property Trust, Inc.

    14,488  
5,392  

CoreCivic, Inc.

    93,174  
4,177  

Corepoint Lodging, Inc.

    42,229  
6,670  

CoreSite Realty Corporation

    812,739  
8,775  

Corporate Office Properties Trust

    261,319  
3,332  

CoStar Group, Inc.n

    1,976,542  
24,389  

Cousins Properties, Inc.

    916,782  
3,902  

CubeSmart

    136,180  
4,417  

CyrusOne, Inc.

    349,385  
3,192  

DiamondRock Hospitality Company

    32,718  
2,881  

Digital Realty Trust, Inc.

    373,983  
8,727  

Douglas Emmett, Inc.

    373,777  
13,100  

Duke Realty Corporation

    445,007  
957  

EastGroup Properties, Inc.

    119,644  
9,651  

Empire State Realty Trust, Inc.

    137,720  
3,757  

EPR Properties

    288,763  
3,482  

Equity Commonwealth

    119,258  
463  

Equity Lifestyle Properties, Inc.

    61,857  
208  

Essex Property Trust, Inc.

    67,943  
5,526  

Farmland Partners, Inc.

    36,914  
5,918  

First Industrial Realty Trust, Inc.

    234,116  
776  

Four Corners Property Trust, Inc.

    21,945  
15,825  

Franklin Street Properties Corporation

    133,879  
10,156  

Gaming and Leisure Properties, Inc.

    388,365  
9,983  

GEO Group, Inc.

    173,105  
3,275  

Getty Realty Corporation

    104,996  
6,019  

Gladstone Commercial Corporation

    141,446  
714  

Global Net Lease, Inc.

    13,923  
6,636  

Healthcare Realty Trust, Inc.

    222,306  
10,424  

Healthcare Trust of America, Inc.

    306,257  
11,161  

Highwoods Properties, Inc.

    501,575  
88,157  

Host Hotels & Resorts, Inc.

    1,524,234  
397  

Howard Hughes Corporationn

    51,451  
4,291  

Hudson Pacific Properties, Inc.

    143,577  
2,400  

Industrial Logistics Properties Trust

    51,000  
1,370  

Investors Real Estate Trust

    102,298  
7,889  

iSTAR Financial, Inc.

    102,951  
4,826  

JBG SMITH Properties

    189,227  
3,768  

Jones Lang LaSalle, Inc.

    523,978  
7,481  

Kilroy Realty Corporation

    582,695  
5,077  

Kite Realty Group Trust

    81,994  
5,087  

Lamar Advertising Company

    416,778  
4,432  

Lexington Realty Trust

    45,428  
4,364  

Liberty Property Trust

    224,004  
1,408  

Life Storage, Inc.

    148,417  
421  

LTC Properties, Inc.

    21,564  
1,930  

Mack-Cali Realty Corporation

    41,804  
17,059  

Medical Properties Trust, Inc.

    333,674  
1,098  

MGM Growth Properties LLC

    32,995  
7,458  

Monmouth Real Estate Investment Corporation

    107,470  
1,118  

National Health Investors, Inc.

    92,112  
Shares   Common Stock (18.6%)   Value  

 

 

Real Estate (0.6%) - continued

 
5,572  

National Storage Affiliates Trust

    $185,938  
3,609  

Office Properties Income Trust

    110,580  
7,115  

Omega Healthcare Investors, Inc.

    297,336  
4,041  

One Liberty Properties, Inc.

    111,249  
10,241  

Outfront Media, Inc.

    284,495  
6,113  

Paramount Group, Inc.

    81,609  
7,722  

Pebblebrook Hotel Trust

    214,826  
11,148  

Pennsylvania REIT

    63,767  
24,905  

Physicians Realty Trust

    442,064  
2,465  

Piedmont Office Realty Trust, Inc.

    51,469  
7,507  

PotlatchDeltic Corporation

    308,425  
4,236  

Preferred Apartment Communities, Inc.

    61,210  
478  

PS Business Parks, Inc.

    86,972  
6,605  

QTS Realty Trust, Inc.

    339,563  
6,420  

Rayonier, Inc. REIT

    181,044  
3,047  

RE/MAX Holdings, Inc.

    97,991  
15,806  

Realogy Holdings Corporationl

    105,584  
3,207  

Redfin Corporationl,n

    54,006  
2,320  

Retail Opportunity Investments Corporation

    42,294  
17,984  

Retail Properties of America, Inc.

    221,563  
5,114  

RLJ Lodging Trust

    86,887  
714  

RMR Group, Inc.

    32,473  
6,361  

RPT Realty

    86,192  
2,694  

Ryman Hospitality Properties

    220,396  
17,061  

Sabra Health Care REIT, Inc.

    391,721  
1,137  

Saul Centers, Inc.

    61,978  
9,012  

SBA Communications Corporation

    2,173,244  
21,309  

Senior Housing Property Trust

    197,215  
2,560  

Seritage Growth Properties

    108,774  
19,292  

Service Properties Trust

    497,541  
3,296  

SITE Centers Corporation

    49,803  
6,722  

Spirit Realty Capital, Inc.

    321,715  
7,343  

St. Joe Companyl,n

    125,786  
2,372  

STAG Industrial, Inc.

    69,927  
6,007  

Store Capital Corporation

    224,722  
12,763  

Summit Hotel Properties, Inc.

    148,051  
5,821  

Sunstone Hotel Investors, Inc.

    79,981  
3,746  

Tanger Factory Outlet Centers, Inc.

    57,988  
2,536  

Taubman Centers, Inc.

    103,545  
5,217  

Terreno Realty Corporation

    266,537  
4,503  

UMH Properties, Inc.

    63,402  
505  

Universal Health Realty Income Trust

    51,914  
9,741  

Urban Edge Properties

    192,774  
4,259  

Urstadt Biddle Properties, Inc.

    100,938  
13,166  

VICI Properties, Inc.

    298,210  
18,056  

Washington Prime Group, Inc.

    74,752  
1,109  

Washington REIT

    30,342  
5,879  

Weingarten Realty Investors

    171,255  
1,385  

Weyerhaeuser Company

    38,364  
1,746  

Xenia Hotels & Resorts, Inc.

    36,875  
 

 

 
  Total     33,697,743  
 

 

 

Utilities (0.2%)

 
8,987  

Alliant Energy Corporation

    484,669  
6,086  

Artesian Resources Corporation

    225,182  
1,460  

Chesapeake Utilities Corporation

    139,167  
7,584  

CMS Energy Corporation

    484,997  
4,790  

Consolidated Water Company, Ltd.

    78,987  
5,023  

Entergy Corporation

    589,499  
101,896  

Exelon Corporation

    4,922,596  
1,134  

IDACORP, Inc.

    127,768  
2,955  

Middlesex Water Company

    191,957  
7,073  

New Jersey Resources Corporation

    319,841  
5,018  

NorthWestern Corporation

    376,601  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

217


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (18.6%)   Value  

 

 

Utilities (0.2%) - continued

 
3,081  

Otter Tail Corporation

    $165,604  
11,738  

PNM Resources, Inc.

    611,315  
6,402  

Public Service Enterprise Group, Inc.

    397,436  
6,059  

Spire, Inc.

    528,587  
3,993  

Unitil Corporation

    253,316  
 

 

 
  Total     9,897,522  
 

 

 
   
 

 

 
  Total Common Stock
(cost $735,023,565)
    969,355,249  
 

 

 
Shares   Collateral Held for Securities Loaned
(0.2%)
  Value  

 

 
8,424,121  

Thrivent Cash Management Trust

    8,424,121  
 

 

 
  Total Collateral Held for Securities Loaned
(cost $8,424,121)
    8,424,121  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (16.8%)   Value  

 

 
 

Federal Home Loan Bank Discount Notes

 

2,900,000

 

2.182%, 10/2/2019o,p

    2,899,849  

600,000

 

2.010%, 10/7/2019o,p

    599,812  

200,000

 

2.085%, 10/11/2019o,p

    199,896  

7,100,000

 

1.956%, 10/16/2019o,p

    7,094,438  

2,400,000

 

1.995%, 10/30/2019o,p

    2,396,365  

800,000

 

1.980%, 11/5/2019o,p

    798,538  

200,000

 

1.980%, 11/8/2019o,p

    199,603  

3,100,000

 

1.882%, 12/5/2019o,p

    3,089,533  

2,800,000

 

1.920%, 12/11/2019o,p

    2,789,674  
 

Thrivent Core Short-Term Reserve Fund

 

85,316,089

 

2.230%

    853,160,889  
 

U.S. Treasury Bills

 

300,000

 

2.065%, 10/3/2019o

    299,972  

3,680,000

 

1.900%, 11/29/2019o,q

    3,669,129  
 

 

 
  Total Short-Term Investments (cost $877,196,164)     877,197,698  
 

 

 
  Total Investments (cost $5,413,803,870) 112.0%     $5,842,373,857  
 

 

 
  Other Assets and Liabilities, Net (12.0%)     (624,636,556
 

 

 
  Total Net Assets 100.0%     $5,217,737,301  
 

 

 

 

a

The stated interest rate represents the weighted average of all contracts within the bank loan facility.

b

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

c

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

d

All or a portion of the loan is unfunded.

e

Denotes investments purchased on a when-issued or delayed delivery basis.

f

In bankruptcy. Interest is not being accrued.

g

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $253,579,342 or 4.9% of total net assets.

h

Denotes step coupon securities. Step coupon securities pay an initial coupon rate for the first period and then different coupon rates for following periods. The rate shown is as of September 30, 2019.

i

Denotes interest only security. Interest only securities represent the right to receive monthly interest payments on an underlying pool of mortgages or assets. The principal shown is the outstanding par amount of the pool as of the end of the period. The actual effective yield of the security is different than the stated coupon rate.

j

All or a portion of the security is insured or guaranteed.

k

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

l

All or a portion of the security is on loan.

m

Defaulted security. Interest is not being accrued.

n

Non-income producing security.

o

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

p

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

q

At September 30, 2019, $885,377 of investments were segregated to cover exposure to a counterparty for margin on open mortgage-backed security transactions.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Moderately Conservative Allocation Portfolio as of September 30, 2019:

Securities Lending Transactions

Common Stock      $5,974,036  
Long-Term Fixed Income      2,179,516  
Total lending      $8,153,552  
Gross amount payable upon return of collateral for securities loaned      $8,424,121  
Net amounts due to counterparty      $270,569  

 

Definitions:    
ACES   -   Alternative Credit Enhancement Securities
ADR   -   American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
CLO   -   Collateralized Loan Obligation
ETF   -   Exchange Traded Fund
GDR   -   Global Depository Receipts, which are certificates for shares of an underlying foreign security’s shares held by an issuing depository bank from more than one country.
REMIC   -   Real Estate Mortgage Investment Conduit
REIT   -   Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Ser.   -   Series
SPDR   -   S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.
TIPS   -   Treasury Inflation Protected Security
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

218


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Reference Rate Index:
CMT 3M    -    Constant Maturity Treasury Yield 3 Month
LIBOR 1W              -    ICE Libor USD Rate 1 Week
LIBOR 1M    -    ICE Libor USD Rate 1 Month
LIBOR 2M    -    ICE Libor USD Rate 2 Month
LIBOR 3M    -    ICE Libor USD Rate 3 Month
LIBOR 12M    -    ICE Libor USD Rate 12 Month
PRIME    -    Federal Reserve Prime Loan Rate
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

219


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Moderately Conservative Allocation Portfolio’s assets carried at fair value.

 

Investments in Securities    Total        Level 1        Level 2        Level 3      

Bank Loans

                 

Basic Materials

     5,654,127                   4,858,563          795,564  

Capital Goods

     15,747,579                   15,747,579           

Communications Services

     25,018,841                   21,262,877          3,755,964  

Consumer Cyclical

     16,914,433                   14,079,335          2,835,098  

Consumer Non-Cyclical

     21,580,140                   21,580,140           

Energy

     9,783,980                   9,134,304          649,676  

Financials

     15,775,785                   14,697,356          1,078,429  

Technology

     7,502,235                   7,502,235           

Utilities

     2,758,062                   2,191,001          567,061  

Long-Term Fixed Income

                 

Asset-Backed Securities

     83,220,474                   83,220,474           

Basic Materials

     21,972,984                   21,972,984           

Capital Goods

     38,381,962                   38,381,962           

Collateralized Mortgage Obligations

     61,305,969                   61,305,969           

Commercial Mortgage-Backed Securities

     90,767,333                   90,767,333           

Communications Services

     71,065,308                   71,065,308           

Consumer Cyclical

     54,630,160                   54,630,160           

Consumer Non-Cyclical

     97,123,733                   97,123,733           

Energy

     74,687,448                   74,687,448           

Financials

     171,282,419                   171,282,419           

Foreign Government

     734,713                   734,713           

Mortgage-Backed Securities

     631,146,826                   631,146,826           

Technology

     43,356,058                   43,356,058           

Transportation

     12,289,459                   12,289,459           

U.S. Government & Agencies

     680,777,598                   680,777,598           

Utilities

     58,268,543                   58,268,543           

Registered Investment Companies

                 

Unaffiliated

     22,118,551          22,118,551                    

Affiliated

     1,340,976,916          1,340,976,916                    

Common Stock

                 

Communications Services

     62,621,907          62,621,907                    

Consumer Discretionary

     111,587,007          111,587,007                    

Consumer Staples

     36,318,686          36,318,686                    

Energy

     28,687,738          28,687,738                    

Financials

     151,552,957          151,552,957                    

Health Care

     133,308,593          133,308,593                    

Industrials

     133,784,500          133,784,500                    

Information Technology

     238,381,781          236,373,567          2,008,214           

Materials

     29,516,815          29,516,813                   2  

Real Estate

     33,697,743          33,697,743                    

Utilities

     9,897,522          9,897,522                    

Short-Term Investments

     24,036,809                   24,036,809           

Subtotal Investments in Securities

     $4,668,233,694          $2,330,442,500          $2,328,109,400          $9,681,794      
Other Investments *    Total                         

Affiliated Registered Investment Companies

     312,555,153       

Affiliated Short-Term Investments

     853,160,889       

Collateral Held for Securities Loaned

     8,424,121       

Subtotal Other Investments

     $1,174,140,163       
               

Total Investments at Value

     $5,842,373,857           

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

220


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

 

Other Financial Instruments    Total        Level 1        Level 2                Level 3          

Asset Derivatives

                       

Futures Contracts

     8,379,854            8,379,854               –               –    

Total Asset Derivatives

     $8,379,854            $8,379,854                     $–                     $–    

Liability Derivatives

                       

Futures Contracts

     5,429,004            5,429,004                     –                     –    

Total Liability Derivatives

     $5,429,004            $5,429,004                     $–                     $–    

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

The following table presents Moderately Conservative Allocation Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $19,867,718 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
       Expiration
Date
       Notional Principal
Amount
       Value and
Unrealized
 

CBOT 2-Yr. U.S. Treasury Note

     309                    December 2019          $66,742,535          ($153,035 )     

CBOT 5-Yr. U.S. Treasury Note

     431                    December 2019          51,684,089          (331,111

CBOT U.S. Long Bond

     1,074                    December 2019          175,770,324          (1,446,699

CME E-mini S&P 500 Index

     956                    December 2019          143,581,260          (1,208,960

CME Euro Foreign Exchange Currency

     252                    December 2019          34,861,685          (329,810

Eurex Euro STOXX 50 Index

     903                    December 2019          34,532,394          456,924  

ICE mini MSCI EAFE Index

     63                    December 2019          6,006,509          (26,549

ICE US mini MSCI Emerging Markets Index

     1,630                    December 2019          83,587,690          (1,932,840

Total Futures Long Contracts

                           $596,766,486          ($4,972,080

CBOT 10-Yr. U.S. Treasury Note

     (209)                   December 2019          ($27,468,237        $232,924  

CME E-mini Russell 2000 Index

     (3,001)                   December 2019          (236,426,755        7,600,505  

CME E-mini S&P Mid-Cap 400 Index

     (33)                   December 2019          (6,484,901        89,501  

Total Futures Short Contracts

                           ($270,379,893        $7,922,930  

Total Futures Contracts

                           $326,386,593          $2,950,850  

 

Reference Description:

CBOT   

   -   

  Chicago Board of Trade

CME

   -   

  Chicago Mercantile Exchange

EAFE

   -   

  Europe, Australasia and Far East

ICE

   -   

  Intercontinental Exchange

MSCI

   -   

  Morgan Stanley Capital International

S&P

   -   

  Standard & Poor’s

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

221


MODERATELY CONSERVATIVE ALLOCATION PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Moderately Conservative Allocation

Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Registered Investment Companies

                 

Core Emerging Markets Debt

     $127,028        $13,102        $–        $150,093        15,300             2.9%  

Core International Equity

     45,207                      49,754        5,287             0.9  

Core Low Volatility Equity

     90,757        6               112,708        9,299             2.2  

Global Stock Fund

     34,748        2,877               39,330        3,057             0.8  

High Yield

     121,837        5,538               135,857        28,691             2.6  

Income

     370,034        10,193               416,229        39,349             8.0  

International Allocation

     161,511        5,643               179,665        18,959             3.4  

Large Cap Value

     159,504        10,972               183,997        10,340             3.5  

Limited Maturity Bond

     235,348        4,755               245,001        24,688             4.7  

Mid Cap Stock

     79,493        9,078               94,193        5,154             1.8  

Small Cap Stock

     40,092        5,636               46,705        2,627             0.9  

Total Affiliated Registered Investment Companies

     1,465,559                          1,653,532                 31.7  

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     679,056        741,977        567,872        853,161        85,316             16.3  

Total Affiliated Short-Term Investments

     679,056                          853,161                 16.3  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     25,341        176,193        193,110        8,424        8,424             0.2  

Total Collateral Held for Securities Loaned

     25,341                          8,424                 0.2  

Total Value

     $2,169,956                          $2,515,117                    

 

Portfolio    Net Realized   
Gain/(Loss)   
     Change in   
Unrealized   
Appreciation/   
(Depreciation)   
     Distributions of
Realized Capital
Gains
     Income Earned    
1/1/2019
- 9/30/2019

Affiliated Registered Investment Companies

           

Core Emerging Markets Debt

     $–        $9,963               $4,836      

Core International Equity

            4,547               –      

Core Low Volatility Equity

            21,945        6        –      

Global Stock

            1,705        2,310        567      

High Yield

            8,482               5,537      

Income

            36,003               10,167      

International Allocation

            12,511        1,497        4,146      

Large Cap Value

            13,521        8,185        2,787      

Limited Maturity Bond

            4,898               4,758      

Mid Cap Stock

            5,622        8,507        571      

Small Cap Stock

            977        5,451        185      

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

                          14,520      

Total Income from Affiliated Investments

                                $48,074      

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          46      

Total Affiliated Income from Securities Loaned, Net

                                $46      

Total Value

     $–        $120,174        $25,956           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

222


MULTIDIMENSIONAL INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (46.6%)   Value

 

 

Basic Materials (2.1%)

 
 

BHP Billiton Finance USA, Ltd.

 

$100,000

 

6.750%, 10/19/2075a,b

    $116,875  
 

First Quantum Minerals, Ltd.

 

125,000

 

7.250%, 4/1/2023a

    123,125  
 

Olin Corporation

 

125,000

 

5.125%, 9/15/2027

    127,813  
 

Peabody Securities Finance Corporation

 

65,000

 

6.375%, 3/31/2025a

    64,228  
 

Tronox Finance plc

 

65,000

 

5.750%, 10/1/2025a

    61,474  
 

 

 
 

Total

    493,515  
 

 

 

Capital Goods (3.6%)

 
 

AECOM

 

25,000

 

5.875%, 10/15/2024

    27,175  

40,000

 

5.125%, 3/15/2027

    42,000  
 

Aerojet Rocketdyne Holdings, Inc., Convertible

 

18,000

 

2.250%, 12/15/2023

    35,887  
 

Amsted Industries, Inc.

 

50,000

 

5.625%, 7/1/2027a

    52,750  
 

Ardagh Packaging Finance plc

 

125,000

 

6.000%, 2/15/2025a

    130,700  
 

Bombardier, Inc.

 

50,000

 

7.500%, 3/15/2025a

    49,937  
 

Building Materials Corporation of America

 

50,000

 

6.000%, 10/15/2025a

    52,423  
 

Covanta Holding Corporation

 

50,000

 

6.000%, 1/1/2027

    52,625  
 

General Electric Company

 

100,000

 

5.000%, 1/21/2021b,c

    94,875  
 

H&E Equipment Services, Inc.

 

125,000

 

5.625%, 9/1/2025

    128,675  
 

KBR, Inc., Convertible

 

5,000

 

2.500%, 11/1/2023a

    5,785  
 

Textron Financial Corporation

 

150,000

 

3.893%, (LIBOR 3M +
1.735%), 2/15/2042a,b

    113,441  
 

TTM Technologies, Inc., Convertible

 

9,000

 

1.750%, 12/15/2020

    12,000  
 

United Rentals North America, Inc.

 

65,000

 

5.500%, 5/15/2027

    68,900  
 

 

 
 

Total

    867,173  
 

 

 

Collateralized Mortgage Obligations (0.8%)

 
 

GMACM Mortgage Loan Trust

 

48,603

 

4.632%, 11/19/2035, Ser.
2005-AR6, Class 1A1b

    48,050  
 

Residential Accredit Loans, Inc. Trust

 

81,326

 

6.000%, 1/25/2037, Ser.
2007-QS1, Class 1A1

    77,068  
 

Wells Fargo Mortgage Backed Securities Trust

 

76,689

 

5.500%, 4/25/2036, Ser.
2006-4, Class 2A2

    75,639  
 

 

 
 

Total

    200,757  
 

 

 

Communications Services (6.2%)

 
 

AMC Networks, Inc.

 

125,000

 

5.000%, 4/1/2024

    128,750  
 

CCO Holdings, LLC

 

125,000

 

5.500%, 5/1/2026a

    130,925  
Principal
Amount
  Long-Term Fixed Income (46.6%)   Value

 

 

Communications Services (6.2%) - continued

 
 

DISH Network Corporation, Convertible

 

$81,000

 

3.375%, 8/15/2026

    $74,213  
 

Embarq Corporation

 

30,000

 

7.995%, 6/1/2036

    29,653  
 

Frontier Communications Corporation

 

40,000

 

8.000%, 4/1/2027a

    42,188  
 

GCI Liberty, Inc., Convertible

 

53,000

 

1.750%, 9/30/2046a

    64,461  
 

Gray Television, Inc.

 

65,000

 

5.875%, 7/15/2026a

    67,600  
 

IAC FinanceCo, Inc., Convertible

 

12,000

 

0.875%, 10/1/2022a

    18,305  
 

Level 3 Communications, Inc.

 

125,000

 

5.375%, 1/15/2024

    127,481  
 

Liberty Media Corporation, Convertible

 

33,000

 

1.000%, 1/30/2023

    41,327  
 

Neptune Finco Corporation

 

55,000

 

10.875%, 10/15/2025a

    62,285  
 

Nexstar Escrow Corporation

 

65,000

 

5.625%, 7/15/2027a

    68,087  
 

Sirius XM Radio, Inc.

 

50,000

 

5.000%, 8/1/2027a

    51,572  
 

Sprint Corporation

 

125,000

 

7.625%, 2/15/2025

    137,500  
 

T-Mobile USA, Inc.

 

65,000

 

4.500%, 2/1/2026

    66,904  
 

VeriSign, Inc.

 

125,000

 

4.750%, 7/15/2027

    130,937  
 

Viacom, Inc.

 

100,000

 

5.875%, 2/28/2057b

    103,813  
 

Virgin Media Secured Finance plc

 

125,000

 

5.250%, 1/15/2026a

    128,438  
 

 

 
 

Total

    1,474,439  
 

 

 

Consumer Cyclical (3.8%)

 
 

Allison Transmission, Inc.

 

65,000

 

4.750%, 10/1/2027a

    66,950  
 

Brookfield Property REIT, Inc.

 

50,000

 

5.750%, 5/15/2026a

    52,250  
 

Brookfield Residential Properties, Inc.

 

50,000

 

6.250%, 9/15/2027a

    50,250  
 

General Motors Financial Company, Inc.

 

12,000

 

6.500%, 9/30/2028b,c

    12,060  
 

Hanesbrands, Inc.

 

125,000

 

4.875%, 5/15/2026a

    132,062  
 

Hilton Worldwide Finance, LLC

 

50,000

 

4.875%, 4/1/2027

    52,860  
 

Landry’s, Inc.

 

50,000

 

6.750%, 10/15/2024a

    51,250  
 

Lennar Corporation

 

65,000

 

4.750%, 5/30/2025

    69,387  
 

Live Nation Entertainment, Inc.

 

60,000

 

5.625%, 3/15/2026a

    63,825  
 

Mattamy Group Corporation

 

50,000

 

6.500%, 10/1/2025a

    52,500  
 

New Red Finance, Inc.

 

50,000

 

5.000%, 10/15/2025a

    51,650  
 

Prime Security Services Borrower, LLC

 

65,000

 

5.750%, 4/15/2026a

    67,685  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

223


MULTIDIMENSIONAL INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (46.6%)   Value

 

 

Consumer Cyclical (3.8%) - continued

 
 

Scientific Games International, Inc.

 

$65,000

 

5.000%, 10/15/2025a

    $67,067  
 

Six Flags Entertainment Corporation

 

65,000

 

4.875%, 7/31/2024a

    67,275  
 

Viking Cruises, Ltd.

 

50,000

 

5.875%, 9/15/2027a

    52,980  
 

 

 
 

Total

    910,051  
 

 

 

Consumer Non-Cyclical (4.9%)

 
 

Albertson’s Companies, LLC

 

125,000

 

6.625%, 6/15/2024

    130,937  
 

Alliance One International, Inc.

 

100,000

 

9.875%, 7/15/2021

    69,000  
 

Anthem, Inc., Convertible

 

9,000

 

2.750%, 10/15/2042

    30,106  
 

B&G Foods, Inc.

 

65,000

 

5.250%, 9/15/2027

    66,469  
 

Cardtronics, Inc., Convertible

 

9,000

 

1.000%, 12/1/2020

    8,772  
 

Centene Corporation

 

50,000

 

5.375%, 6/1/2026a

    52,375  
 

Energizer Holdings, Inc.

 

140,000

 

6.375%, 7/15/2026a,d

    149,960  
 

HCA, Inc.

 

60,000

 

5.375%, 2/1/2025

    65,550  
 

JBS USA, LLC

 

125,000

 

6.500%, 4/15/2029a

    138,750  
 

Simmons Foods, Inc.

 

165,000

 

5.750%, 11/1/2024a

    160,875  
 

Spectrum Brands, Inc.

 

50,000

 

5.750%, 7/15/2025

    52,174  
 

Tenet Healthcare Corporation

 

15,000

 

4.625%, 7/15/2024

    15,416  

50,000

 

5.125%, 11/1/2027a

    51,667  
 

Valeant Pharmaceuticals International, Inc.

 

30,000

 

5.875%, 5/15/2023a

    30,375  
 

VRX Escrow Corporation

 

125,000

 

6.125%, 4/15/2025a

    129,688  
 

 

 
 

Total

    1,152,114  
 

 

 

Energy (4.7%)

 
 

Antero Resources Corporation

 

60,000

 

5.125%, 12/1/2022

    52,650  
 

Cheniere Corpus Christi Holdings, LLC

 

125,000

 

7.000%, 6/30/2024

    143,594  
 

Diamondback Energy, Inc.

 

125,000

 

5.375%, 5/31/2025

    130,445  
 

Enbridge, Inc.

 

87,000

 

6.250%, 3/1/2078b

    92,210  
 

Energy Transfer Operating, LP

 

25,000

 

6.625%, 2/15/2028b,c

    23,625  
 

Enterprise Products Operating, LLC

 

75,000

 

4.875%, 8/16/2077b

    72,469  
 

Parsley Energy, LLC

 

65,000

 

5.625%, 10/15/2027a

    67,112  
 

Plains All American Pipeline, LP

 

60,000

 

6.125%, 11/15/2022b,c

    56,518  
 

Precision Drilling Corporation

 

65,000

 

7.750%, 12/15/2023

    63,144  
 

Sunoco, LP

 

125,000

 

5.500%, 2/15/2026

    130,459  
 

Tallgrass Energy Partners, LP

 

65,000

 

5.500%, 1/15/2028a

    63,531  
Principal
Amount
  Long-Term Fixed Income (46.6%)   Value

 

 

Energy (4.7%) - continued

 
 

TransCanada Trust

 

$100,000

 

5.300%, 3/15/2077b

    $99,500  
 

Transocean Guardian, Ltd.

 

44,500

 

5.875%, 1/15/2024a

    44,722  
 

WPX Energy, Inc.

 

65,000

 

5.250%, 10/15/2027

    65,488  
 

 

 
 

Total

    1,105,467  
 

 

 

Financials (11.2%)

 
 

Ally Financial, Inc.

 

65,000

 

5.750%, 11/20/2025

    72,801  
 

Ares Capital Corporation, Convertible

 

21,000

 

4.625%, 3/1/2024

    22,087  
 

Australia and New Zealand Banking Group, Ltd.

 

100,000

 

6.750%, 6/15/2026a,b,c

    110,750  
 

BAC Capital Trust XIV

 

34,000

 

4.000%, (LIBOR 3M + 0.400%), 10/17/2019b,c

    29,733  
 

Bank of America Corporation

 

202,000

 

6.250%, 9/5/2024b,c

    219,776  
 

Barclays plc

 

25,000

 

7.750%, 9/15/2023b,c

    26,017  
 

BB&T Corporation

 

37,000

 

4.800%, 9/1/2024b,c

    37,000  
 

Blackstone Mortgage Trust, Inc., Convertible

 

5,000

 

4.375%, 5/5/2022

    5,206  
 

BNP Paribas SA

 

100,000

 

7.625%, 3/30/2021a,b,c

    105,375  
 

Citigroup, Inc.

 

68,000

 

5.000%, 9/12/2024b,c

    68,830  

34,000

 

5.950%, 5/15/2025b,c

    35,998  
 

Credit Agricole SA

 

100,000

 

8.125%, 12/23/2025a,b,c

    117,625  
 

Credit Suisse Group AG

 

51,000

 

7.500%, 12/11/2023a,b,c

    56,355  
 

Euronet Worldwide, Inc., Convertible

 

8,000

 

0.750%, 3/15/2049a

    9,365  
 

FTI Consulting, Inc., Convertible

 

18,000

 

2.000%, 8/15/2023

    21,908  
 

Goldman Sachs Group, Inc.

 

50,000

 

5.500%, 8/10/2024b,c

    52,500  
 

GS Finance Corporation, Convertible

 

93,000

 

0.500%, 6/23/2025e

    95,344  
 

Hannon Armstrong Sustainable Infrastructure Capital, Convertible

 

4,000

 

4.125%, 9/1/2022

    4,465  
 

Hartford Financial Services Group, Inc.

 

100,000

 

4.283%, (LIBOR 3M + 2.125%), 2/12/2047a,b

    85,031  
 

HSBC Holdings plc

 

75,000

 

6.375%, 9/17/2024b,c

    78,703  
 

Icahn Enterprises, LP

 

50,000

 

6.375%, 12/15/2025

    52,576  
 

ING Groep NV

 

50,000

 

6.000%, 4/16/2020b,c

    50,455  
 

Iron Mountain, Inc.

 

65,000

 

4.875%, 9/15/2027a

    66,474  
 

iStar, Inc., Convertible

 

5,000

 

3.125%, 9/15/2022

    5,295  
 

J.P. Morgan Chase & Company

 

100,000

 

5.150%, 5/1/2023b,c

    102,875  

68,000

 

5.000%, 8/1/2024b,c

    69,870  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

224


MULTIDIMENSIONAL INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (46.6%)   Value

 

 

Financials (11.2%) - continued

 
 

J.P. Morgan Chase Capital XXIII

 

$100,000

 

3.158%, (LIBOR 3M + 1.000%), 5/15/2047b

    $79,000  
 

Lincoln National Corporation

 

100,000

 

4.481%, (LIBOR 3M + 2.358%), 5/17/2066b

    81,031  
 

Lloyds Banking Group plc

 

100,000

 

6.657%, 5/21/2037a,b,c

    106,750  
 

Macquarie Bank, Ltd.

 

100,000

 

6.125%, 3/8/2027a,b,c

    100,625  
 

MGIC Investment Corporation, Convertible

 

37,000

 

9.000%, 4/1/2063a

    49,464  
 

MPT Operating Partnership, LP

 

50,000

 

4.625%, 8/1/2029

    51,500  
 

Quicken Loans, Inc.

 

50,000

 

5.750%, 5/1/2025a

    51,562  
 

Royal Bank of Scotland Group plc

 

100,000

 

8.625%, 8/15/2021b,c

    107,085  
 

Societe Generale SA

 

100,000

 

8.000%, 9/29/2025a,b,c

    112,625  
 

Standard Chartered plc

 

100,000

 

7.500%, 4/2/2022a,b,c

    105,625  
 

State Street Capital Trust IV

 

100,000

 

3.119%, (LIBOR 3M + 1.000%), 6/15/2047b

    76,741  
 

USB Realty Corporation

 

120,000

 

3.450%, (LIBOR 3M + 1.147%), 1/15/2022a,b,c

    102,600  
 

Wachovia Capital Trust II

 

30,000

 

2.803%, (LIBOR 3M + 0.500%), 1/15/2027b

    27,750  
 

 

 
 

Total

    2,654,772  
 

 

 

Technology (1.7%)

 
 

Akamai Technologies, Inc., Convertible

 

10,000

 

0.125%, 5/1/2025

    11,446  

10,000

 

0.375%, 9/1/2027a

    10,194  
 

Booking Holdings, Inc., Convertible

 

12,000

 

0.350%, 6/15/2020

    17,936  
 

Cypress Semiconductor Corporation, Convertible

 

9,000

 

4.500%, 1/15/2022

    15,693  
 

Diamond Sports Group, LLC

 

65,000

 

6.625%, 8/15/2027a

    67,343  
 

Harland Clarke Holdings Corporation

 

55,000

 

8.375%, 8/15/2022a

    45,100  
 

Intel Corporation, Convertible

 

14,000

 

3.250%, 8/1/2039

    35,560  
 

j2 Global, Inc., Convertible

 

14,000

 

3.250%, 6/15/2029

    19,850  
 

Microchip Technology, Inc., Convertible

 

13,000

 

1.625%, 2/15/2027

    16,735  
 

NCR Corporation

 

40,000

 

6.125%, 9/1/2029a

    42,162  
 

Nuance Communications, Inc., Convertible

 

46,000

 

1.250%, 4/1/2025

    45,080  
 

Okta, Inc., Convertible

 

38,000

 

0.125%, 9/1/2025a

    34,405  
 

ON Semiconductor Corporation, Convertible

 

20,000

 

1.625%, 10/15/2023

    24,049  
Principal
Amount
  Long-Term Fixed Income (46.6%)   Value

 

 

Technology (1.7%) - continued

 
 

Verint Systems, Inc., Convertible

 

$11,000

 

1.500%, 6/1/2021

    $11,060  
 

 

 
 

Total

    396,613  
 

 

 

Transportation (0.7%)

 
 

Hertz Corporation

 

50,000

 

5.500%, 10/15/2024a

    50,075  
 

United Continental Holdings, Inc.

 

50,000

 

4.875%, 1/15/2025

    52,605  
 

XPO Logistics, Inc.

 

50,000

 

6.750%, 8/15/2024a

    54,125  
 

 

 
 

Total

    156,805  
 

 

 

U.S. Government & Agencies (5.2%)

 
 

U.S. Treasury Bonds

 

1,165,000

 

2.375%, 5/15/2029

    1,237,494  
 

 

 
 

Total

    1,237,494  
 

 

 

Utilities (1.7%)

 
 

Duke Energy Corporation

 

51,000

 

4.875%, 9/16/2024b,c

    52,173  
 

NextEra Energy Operating Partners, LP

 

65,000

 

3.875%, 10/15/2026a

    65,000  
 

NiSource, Inc.

 

77,000

 

5.650%, 6/15/2023b,c

    77,385  
 

TerraForm Power Operating, LLC

 

125,000

 

5.000%, 1/31/2028a

    130,000  
 

TransCanada Trust

 

85,000

 

5.875%, 8/15/2076b

    89,918  
 

 

 
  Total     414,476  
 

 

 
   
 

 

 
 

Total Long-Term Fixed Income

(cost $10,990,826)

    11,063,676  
 

 

 
Shares   Registered Investment Companies (41.0%)   Value

Unaffiliated (31.1%)

 

15,000

 

Aberdeen Asia-Pacific Income Fund, Inc.

    62,850  

7,986

 

AllianceBernstein Global High Income Fund, Inc.

    95,752  

12,850

 

AllianzGI NFJ Dividend Interest & Premium Strategy Fund

    157,027  

7,959

 

BlackRock Core Bond Trust

    115,011  

12,519

 

BlackRock Corporate High Yield Fund, Inc.

    134,579  

14,636

 

BlackRock Credit Allocation Income Trust

    199,342  

21,873

 

BlackRock Enhanced Equity Dividend Trust

    200,794  

6,704

 

BlackRock Multi-Sector Income Trust

    115,041  

15,726

 

BlackRock Resources & Commodities Strategy Trust

    117,630  

32,242

 

BNY Mellon High Yield Strategies Fund

    98,661  

4,628

 

Brookfield Real Assets Income Fund, Inc.

    104,547  

5,991

 

Calamos Convertible Opportunities and Income Fund

    62,366  

3,580

 

Cohen & Steers Limited Duration Preferred & Income Fund, Inc.

    91,576  

9,110

 

Eaton Vance Limited Duration Income Fund

    113,875  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

225


MULTIDIMENSIONAL INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Registered Investment Companies (41.0%)   Value

Unaffiliated (31.1%) - continued

 

14,403

 

Eaton Vance Tax-Managed Global Diversified Equity Income Fund

    $118,393  

10,190

 

Invesco Dynamic Credit Opportunities Fund

    112,192  

25,978

 

Invesco Senior Income Trust

    109,108  

5,500

 

Invesco Variable Rate Preferred ETF

    139,810  

54,910

 

iShares S&P U.S. Preferred Stock Index Fund

    2,060,772  

6,825

 

MFS Intermediate Income Trust

    26,072  

6,018

 

Neuberger Berman MLP Income Fund, Inc.

    43,330  

14,762

 

Nuveen Credit Strategies Income Fund

    110,420  

3,800

 

Nuveen Global High Income Fund

    59,128  

4,733

 

Nuveen Preferred and Income Term Fund

    117,047  

7,311

 

PGIM Global High Yield Fund, Inc.

    105,059  

8,152

 

PGIM High Yield Bond Fund, Inc.

    121,872  

7,747

 

Royce Value Trust, Inc.

    106,599  

2,650

 

SPDR BBG Barclay’s Convertible Securities ETF

    138,993  

15,875

 

SPDR Bloomberg Barclays High Yield Bond ETF

    1,726,248  

8,030

 

Templeton Global Income Fund

    49,304  

7,225

 

Tortoise Midstream Energy Fund, Inc.

    88,795  

17,762

 

Voya Global Equity Dividend & Premium Opportunity Fund

    106,572  

4,150

 

Voya Infrastructure Industrials and Materials Fund

    47,517  

12,651

 

Wells Fargo Income Opportunities Fund

    104,244  

15,400

 

Western Asset High Income Fund II, Inc.

    104,412  

21,248

 

Western Asset High Income Opportunity Fund, Inc.

    107,302  
 

 

 
  Total     7,372,240  
 

 

 

Affiliated (9.9%)

 

239,407

 

Thrivent Core Emerging Markets Debt Fund

    2,348,581  
 

 

 
  Total     2,348,581  
 

 

 
   
 

 

 
  Total Registered Investment Companies (cost $9,855,152)     9,720,821  
 

 

 
Shares   Common Stock (4.6%)   Value

Communications Services (0.1%)

 

582

 

Twitter, Inc.f

    23,978  
 

 

 
  Total     23,978  
 

 

 

Consumer Discretionary (<0.1%)

 

2

 

Booking Holdings, Inc.f

    3,925  
 

 

 
  Total     3,925  
 

 

 

Consumer Staples (0.1%)

 

359

 

Bunge, Ltd.

    20,327  
 

 

 
  Total     20,327  
 

 

 

Energy (1.0%)

 

2,070

 

Enbridge, Inc.

    72,616  

3,300

 

Enterprise Products Partners, LP

    94,314  

2,765

 

Williams Companies, Inc.

    66,526  
 

 

 
  Total     233,456  
 

 

 
Shares    Common Stock (4.6%)    Value  

Financials (1.7%)

  

5,636

  

AG Mortgage Investment Trust, Inc.

     $85,386  

12,858

  

Annaly Capital Management, Inc.

     113,150  

433

  

Ares Capital Corporation

     8,069  

5,511

  

Granite Point Mortgage Trust, Inc.

     103,276  

7,047

  

Two Harbors Investment Corporation

     92,527  
  

 

 
   Total      402,408  
  

 

 

Health Care (0.1%)

  

255

  

Danaher Corporation

     36,830  
  

 

 
   Total      36,830  
  

 

 

Information Technology (0.6%)

  

1,124

  

Advanced Micro Devices, Inc.f

     32,585  

130

  

Intel Corporation

     6,699  

60

  

Lam Research Corporation

     13,866  

1,389

  

Micron Technology, Inc.f

     59,519  

137

  

Motorola Solutions, Inc.

     23,346  

195

  

TTM Technologies, Inc.f

     2,378  
  

 

 
   Total      138,393  
  

 

 

Materials (0.1%)

  

2,049

  

Hexion Holdings Corporationf

     23,051  
  

 

 
   Total      23,051  
  

 

 

Real Estate (0.9%)

  

7,034

  

AGNC Investment Corporation

     113,177  

425

  

iSTAR Financial, Inc.

     5,546  

647

  

MGIC Investment Corporation

     8,139  

5,694

  

New Residential Investment Corporation

     89,282  
  

 

 
   Total      216,144  
  

 

 
     
  

 

 
  

Total Common Stock

(cost $1,100,660)

     1,098,512  
  

 

 
Shares    Preferred Stock (3.4%)    Value  

Communications Services (0.1%)

  

27

  

Crown Castle International Corporation, Convertible, 6.875%

     34,129  
  

 

 
   Total      34,129  
  

 

 

Consumer Staples (0.2%)

  

2,000

  

CHS, Inc., 6.750%b,c

     52,640  
  

 

 
   Total      52,640  
  

 

 

Energy (0.6%)

  

10,535

  

Crestwood Equity Partners, LP, 9.250%c

     97,291  

525

  

Energy Transfer Operating, LP, 7.600%b,c

     13,304  

1,415

  

Nustar Logistics, LP, 9.037%b

     36,634  
  

 

 
   Total      147,229  
  

 

 

Financials (1.9%)

  

1,500

  

Allstate Corporation, 5.100%c

     39,390  

12

  

Bank of America Corporation, Convertible, 7.250%c

     17,991  

2,050

  

Capital One Financial Corporation, 5.000%c,f

     51,188  

2,000

  

Citigroup Capital XIII, 8.953%b

     54,860  

1,594

  

Federal National Mortgage Association,
0.000%c,d,f

     21,280  

70

  

First Tennessee Bank NA, 3.750%a,b,c

     51,100  

1,300

  

GMAC Capital Trust I, 7.943%b

     34,073  

2,000

  

Morgan Stanley, 5.850%b,c,d

     54,600  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

226


MULTIDIMENSIONAL INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Preferred Stock (3.4%)    Value  

Financials (1.9%) - continued

  

1,200

  

Regions Financial Corporation,
5.700%b,c

     $33,948  

250

  

Synovus Financial Corporation,
5.875%b,c

     6,670  

52

  

Wells Fargo & Company, Convertible,
7.500%c

     79,169  
  

 

 
   Total      444,269  
  

 

 

Health Care (0.1%)

  

18

  

Danaher Corporation, Convertible,
4.750%

     20,419  
  

 

 
   Total      20,419  
  

 

 

Real Estate (0.3%)

  

2,313

  

Colony Capital, Inc., 8.750%c

     58,496  
  

 

 
   Total      58,496  
  

 

 

Utilities (0.2%)

  

876

  

Southern Company, Convertible,
6.750%f

     46,875  
  

 

 
   Total      46,875  
  

 

 
     
  

 

 
  

Total Preferred Stock

(cost $776,532)

     804,057  
  

 

 
Shares    Collateral Held for Securities
Loaned (0.8%)
   Value  

201,145

  

Thrivent Cash Management Trust

     201,145  
  

 

 
  

Total Collateral Held for Securities Loaned

(cost $201,145)

     201,145  
  

 

 
Shares or
Principal
Amount
   Short-Term Investments (3.8%)    Value  
  

Federal Home Loan Bank Discount Notes

  

200,000

  

2.010%, 10/7/2019g,h

     199,938  
  

Thrivent Core Short-Term Reserve Fund

  

70,034

  

2.230%

     700,338  
  

 

 
  

Total Short-Term Investments

(cost $900,271)

     900,276  
  

 

 
  

Total Investments

(cost $23,824,586) 100.2%

     $23,788,487  
  

 

 
   Other Assets and Liabilities, Net (0.2%)      (48,459
  

 

 
   Total Net Assets 100.0%      $23,740,028  
  

 

 
a

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $4,799,128 or 20.2% of total net assets.

b

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

c

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

d

All or a portion of the security is on loan.

e

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

f

Non-income producing security.

g

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

h

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Multidimensional Income Portfolio as of September 30, 2019:

Securities Lending Transactions

Common Stock

     $71,895  

Long-Term Fixed Income

     123,181  

Total lending

     $195,076  
Gross amount payable upon return of collateral for securities loaned      $201,145  

Net amounts due to counterparty

     $6,069  

Definitions:

ETF   -    Exchange Traded Fund
REIT   -    Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Ser.   -    Series
SPDR   -    S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.

 

Reference Rate Index:
LIBOR 3M   -    ICE Libor USD Rate 3 Month

 

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

227


MULTIDIMENSIONAL INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Multidimensional Income Portfolio’s assets carried at fair value.

 

Investments in Securities    Total      Level 1      Level 2      Level 3  

Long-Term Fixed Income

           

Basic Materials

     493,515               493,515         

Capital Goods

     867,173               867,173         

Collateralized Mortgage Obligations

     200,757               200,757         

Communications Services

     1,474,439               1,474,439         

Consumer Cyclical

     910,051               910,051         

Consumer Non-Cyclical

     1,152,114               1,152,114         

Energy

     1,105,467               1,105,467         

Financials

     2,654,772               2,559,428        95,344  

Technology

     396,613               396,613         

Transportation

     156,805               156,805         

U.S. Government & Agencies

     1,237,494               1,237,494         

Utilities

     414,476               414,476         

Registered Investment Companies

           

Unaffiliated

     7,372,240        7,372,240                

Common Stock

           

Communications Services

     23,978        23,978                

Consumer Discretionary

     3,925        3,925                

Consumer Staples

     20,327        20,327                

Energy

     233,456        233,456                

Financials

     402,408        402,408                

Health Care

     36,830        36,830                

Information Technology

     138,393        138,393                

Materials

     23,051        23,051                

Real Estate

     216,144        216,144                

Preferred Stock

           

Communications Services

     34,129        34,129                

Consumer Staples

     52,640        52,640                

Energy

     147,229        147,229                

Financials

     444,269        393,169        51,100         

Health Care

     20,419        20,419                

Real Estate

     58,496        58,496                

Utilities

     46,875        46,875                

Short-Term Investments

     199,938               199,938         

Subtotal Investments in Securities

     $20,538,423        $9,223,709        $11,219,370        $95,344  

Other Investments *

         Total           

Affiliated Registered Investment Companies

     2,348,581           

Affiliated Short-Term Investments

     700,338           

Collateral Held for Securities Loaned

     201,145           

Subtotal Other Investments

     $3,250,064           
                   

Total Investments at Value

     $23,788,487           

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

228


MULTIDIMENSIONAL INCOME PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.    

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Multidimensional Income Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Registered Investment Companies

                 

Core Emerging Markets Debt

     $1,953        $246        $–        $2,349        239        9.9%  

Total Affiliated Registered Investment Companies

     1,953                          2,349                 9.9  

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     984        23,827        24,111        700        70        3.0  

Total Affiliated Short-Term Investments

     984                          700                 3.0  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     114        442        355        201        201        0.8  

Total Collateral Held for Securities Loaned

     114                          201                 0.8  

Total Value

     $3,051                          $3,250                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Registered Investment Companies

           

Core Emerging Markets Debt

     $–        $149               $73  

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

                          39  

Total Income from Affiliated Investments

                                $112  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          0  

Total Affiliated Income from Securities Loaned, Net

                                $0  

Total Value

     $–        $149        $–           

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

229


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (27.7%)a   Value

Basic Materials (1.3%)

 
 

Arch Coal, Inc., Term Loan

 

$551,515

 

4.794%, (LIBOR 1M + 2.750%), 3/7/2024b

    $544,163  
 

Ball Metalpack Finco, LLC, Term Loan

 

83,937

 

6.624%, (LIBOR 3M + 4.500%), 7/31/2025b

    78,691  
 

Big River Steel, LLC, Term Loan

 

333,200

 

7.104%, (LIBOR 3M + 5.000%), 8/23/2023b,c

    329,868  
 

Chemours Company, Term Loan

 

551,600

 

3.800%, (LIBOR 1M + 1.750%), 4/3/2025b

    531,053  
 

Momentive Performance Materials USA, LLC, Term Loan

 

292,268

 

5.300%, (LIBOR 1M + 3.250%), 5/15/2024b

    290,076  
 

Peabody Energy Corporation, Term Loan

 

389,075

 

4.794%, (LIBOR 1M + 2.750%), 3/31/2025b

    360,381  
 

Pixelle Specialty Solutions, LLC, Term Loan

 

372,188

 

8.044%, (LIBOR 1M + 6.000%), 10/31/2024b

    367,070  
 

Starfruit US Holdco, LLC, Term Loan

 

199,000

 

5.292%, (LIBOR 1M + 3.250%), 10/1/2025b,d,e

    194,622  
  Total     2,695,924  

Capital Goods (2.1%)

 
 

Advanced Disposal Services, Inc., Term Loan

 

578,237

 

4.197%, (LIBOR 1W + 2.250%), 11/10/2023b

    579,757  
 

BWAY Holding Company, Term Loan

 

374,043

 

5.590%, (LIBOR 3M + 3.250%), 4/3/2024b,d,e

    365,837  
 

Flex Acquisition Company, Inc. Term Loan

 

283,770

 

5.569%, (LIBOR 3M + 3.250%), 6/29/2025b

    272,862  
 

GFL Environmental, Inc., Term Loan

 

925,087

 

5.044%, (LIBOR 1M + 3.000%), 5/31/2025b

    916,826  
 

Natgasoline, LLC, Term Loan

 

372,187

 

5.813%, (LIBOR 3M + 3.500%), 11/14/2025b,c

    371,257  
 

Navistar, Inc., Term Loan

 

630,400

 

5.530%, (LIBOR 1M + 3.500%), 11/6/2024b

    626,656  
 

TransDigm, Inc., Term Loan

 

462,652

 

4.544%, (LIBOR 1M + 2.500%), 6/9/2023b

    461,125  
 

Vertiv Group Corporation, Term Loan

 

883,352

 

6.044%, (LIBOR 1M + 4.000%), 11/15/2023b

    839,184  
  Total     4,433,504  

Communications Services (7.1%)

 
 

Altice France SA, Term Loan

 

259,037

 

4.794%, (LIBOR 1M + 2.750%), 7/31/2025b

    252,318  
Principal
Amount
  Bank Loans (27.7%)a   Value

Communications Services (7.1%) - continued

 

 

CenturyLink, Inc., Term Loan

 

$1,485,321

 

4.794%, (LIBOR 1M + 2.750%), 1/31/2025b

    $1,474,596  
 

Charter Communications Operating, LLC, Term Loan

 

609,150

 

4.050%, (LIBOR 1M + 2.000%), 4/30/2025b

    612,500  
 

CommScope Inc., Term Loan

 

790,000

 

5.294%, (LIBOR 1M + 3.250%), 4/4/2026b

    786,477  
 

CSC Holdings, LLC, Term Loan

 

474,087

 

4.278%, (LIBOR 1M + 2.250%), 7/17/2025b

    473,324  

927,675

 

5.028%, (LIBOR 1M + 3.000%), 4/15/2027b

    927,675  

965,000

 

0.000%, (LIBOR 1M + 2.500%), 4/27/2029b,d,e

    966,206  

190,000

 

0.000%, (LIBOR 1M + 2.500%), 4/27/2029b,d,e

    190,000  
 

Diamond Sports Group, LLC, Term Loan

 

775,000

 

5.300%, (LIBOR 1M + 3.250%), 8/24/2026b

    778,875  
 

Entercom Media Corporation, Term Loan

 

457,783

 

4.804%, (LIBOR 1M + 2.750%), 11/17/2024b

    457,898  
 

Frontier Communications Corporation, Term Loan

 

769,255

 

5.800%, (LIBOR 1M + 3.750%), 6/15/2024b

    766,786  
 

HCP Acquisition, LLC, Term Loan

 

593,585

 

5.044%, (LIBOR 1M + 3.000%), 5/16/2024b

    592,547  
 

Intelsat Jackson Holdings SA, Term Loan

 

500,000

 

5.804%, (LIBOR 1M + 3.750%), 11/27/2023b

    501,095  
 

Liberty Cablevision of Puerto Rico, LLC, Term Loan

 

725,000

 

5.528%, (LIBOR 1M + 3.500%), 1/7/2022b,c

    722,281  

113,649

 

8.778%, (LIBOR 1M + 6.750%), 7/7/2023b,c

    111,944  
 

Mediacom Illinois, LLC, Term Loan

 

290,575

 

3.680%, (LIBOR 1W + 1.750%), 2/15/2024b

    290,938  
 

NEP Group, Inc., Term Loan

 

615,350

 

5.294%, (LIBOR 1M + 3.250%), 10/20/2025b

    602,914  
 

SBA Senior Finance II, LLC, Term Loan

 

414,750

 

4.050%, (LIBOR 1M + 2.000%), 4/11/2025b

    414,767  
 

Sprint Communications, Inc., Term Loan

 

1,038,375

 

4.563%, (LIBOR 1M + 2.500%), 2/3/2024b

    1,030,265  

650,088

 

5.063%, (LIBOR 1M + 3.000%), 2/3/2024b

    647,851  
 

TNS, Inc., Term Loan

 

474,071

 

6.260%, (LIBOR 3M + 4.000%), 8/14/2022b

    467,078  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

230


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Bank Loans (27.7%)a   Value

Communications Services (7.1%) - continued

 

 

Virgin Media Bristol, LLC, Term Loan

 

$785,000

 

4.528%, (LIBOR 1M + 2.500%), 1/15/2026b

    $785,000  
 

WideOpenWest Finance, LLC, Term Loan

 

465,500

 

5.294%, (LIBOR 1M + 3.250%), 8/19/2023b

    448,626  
 

Windstream Services, LLC, Term Loan

 

325,000

 

4.550%, (LIBOR 1M + 2.500%), 2/26/2021b

    325,000  

183,591

 

10.000%, (PRIME + 5.000%), 3/30/2021b,f

    186,077  
 

 

 
 

Total

    14,813,038  
 

 

 

Consumer Cyclical (3.9%)

 

 

1011778 B.C., ULC, Term Loan

 

1,136,022

 

4.294%, (LIBOR 1M + 2.250%), 2/17/2024b

    1,139,430  
 

Cengage Learning, Inc., Term Loan

 

556,296

 

6.294%, (LIBOR 1M + 4.250%), 6/7/2023b

    525,238  
 

Eldorado Resorts, Inc., Term Loan

 

152,888

 

4.313%, (LIBOR 1M + 2.250%), 4/17/2024b

    152,570  
 

Four Seasons Hotels, Ltd., Term Loan

 

486,250

 

4.044%, (LIBOR 1M + 2.000%), 11/30/2023b

    488,346  
 

Golden Entertainment, Inc., Term Loan

 

825,075

 

5.060%, (LIBOR 1M + 3.000%), 10/20/2024b,c

    827,138  
 

Golden Nugget, LLC, Term Loan

 

646,321

 

4.800%, (LIBOR 1M + 2.750%), 10/4/2023b,d,e

    645,177  
 

Mohegan Gaming and Entertainment, Term Loan

 

526,015

 

6.044%, (LIBOR 1M + 4.000%), 10/13/2023b

    486,053  
 

Scientific Games International, Inc., Term Loan

 

1,572,229

 

4.876%, (LIBOR 1M + 2.750%), 8/14/2024b

    1,557,497  
 

Staples, Inc., Term Loan

 

214,463

 

6.623%, (LIBOR 3M + 4.500%), 9/12/2024b

    211,604  

638,400

 

7.123%, (LIBOR 3M + 5.000%), 4/12/2026b

    628,958  
 

Stars Group Holdings BV, Term Loan

 

822,878

 

5.604%, (LIBOR 3M + 3.500%), 7/10/2025b

    825,964  
 

Tenneco, Inc., Term Loan

 

292,787

 

5.044%, (LIBOR 1M + 3.000%), 10/1/2025b

    274,488  
 

Wyndham Hotels & Resorts, Inc., Term Loan

 

336,600

 

3.794%, (LIBOR 1M + 1.750%), 5/30/2025b

    338,051  
 

 

 
 

Total

    8,100,514  
 

 

 

Consumer Non-Cyclical (5.2%)

 
 

Air Medical Group Holdings, Inc., Term Loan

 

1,370,587

 

5.307%, (LIBOR 1M + 3.250%), 4/28/2022b

    1,280,074  
Principal
Amount
  Bank Loans (27.7%)a   Value

Consumer Non-Cyclical (5.2%) - continued

 

$167,025

 

6.294%, (LIBOR 1M + 4.250%), 3/14/2025b

    $156,098  
 

Albertson’s LLC, Term Loan

 

1,150,000

 

4.794%, (LIBOR 1M + 2.750%), 8/17/2026b,d,e

    1,156,774  
 

Amneal Pharmaceuticals, LLC, Term Loan

 

547,934

 

5.563%, (LIBOR 1M + 3.500%), 5/4/2025b

    465,744  
 

Bausch Health Companies, Inc., Term Loan

 

947,440

 

5.039%, (LIBOR 1M + 3.000%), 6/1/2025b

    950,898  
 

Chobani, LLC, Term Loan

 

462,623

 

5.544%, (LIBOR 1M + 3.500%), 10/7/2023b

    458,289  
 

Diamond BC BV, Term Loan

 

481,425

 

5.256%, (LIBOR 3M + 3.000%), 9/6/2024b

    457,956  
 

Endo International plc, Term Loan

 

1,234,952

 

6.313%, (LIBOR 1M + 4.250%), 4/27/2024b

    1,121,880  
 

Energizer Holdings, Inc., Term Loan

 

284,925

 

4.375%, (LIBOR 1M + 2.250%), 1/2/2026b

    284,748  
 

Grifols Worldwide Operations USA, Inc., Term Loan

 

433,875

 

4.197%, (LIBOR 1W + 2.250%), 1/31/2025b

    435,962  
 

JBS USA LUX SA, Term Loan

 

522,375

 

4.544%, (LIBOR 1M + 2.500%), 5/1/2026b

    524,553  
 

Mallinckrodt International Finance SA, Term Loan

 

699,550

 

5.175%, (LIBOR 3M + 3.000%), 2/24/2025b

    520,815  
 

McGraw-Hill Global Education Holdings, LLC, Term Loan

 

1,127,054

 

6.044%, (LIBOR 1M + 4.000%), 5/4/2022b

    1,057,605  
 

MPH Acquisition Holdings, LLC, Term Loan

 

1,151,682

 

4.854%, (LIBOR 3M + 2.750%), 6/7/2023b

    1,095,296  
 

Ortho-Clinical Diagnostics SA, Term Loan

 

417,100

 

5.563%, (LIBOR 3M + 3.250%), 6/1/2025b

    402,814  
 

Plantronics, Inc., Term Loan

 

526,185

 

4.544%, (LIBOR 1M + 2.500%), 7/2/2025b

    524,648  
 

R.R. Donnelly & Sons Company, Term Loan

 

79,799

 

7.044%, (LIBOR 3M + 5.000%), 1/15/2024b

    79,998  
 

 

 
 

Total

    10,974,152  
 

 

 

Energy (2.0%)

 

 

BCP Raptor II, LLC, Term Loan

 

154,613

 

6.794%, (LIBOR 1M + 4.750%), 12/19/2025b

    138,506  
 

Calpine Corporation, Term Loan

 

484,872

 

4.610%, (LIBOR 3M + 2.500%), 1/15/2024b

    485,803  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

231


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
     Bank Loans (27.7%)a    Value  
 

Energy (2.0%) - continued

 
  

CONSOL Energy, Inc., Term Loan

  
  $373,125     

6.550%, (LIBOR 1M + 4.500%), 9/28/2024b

   $ 369,394  
  

Consolidated Energy Finance SA, Term Loan

  
  316,000     

4.547%, (LIBOR 3M + 2.500%), 5/7/2025b,c

     305,730  
  

Fieldwood Energy, LLC, Term Loan

  
  375,000     

7.506%, (LIBOR 3M + 5.250%), 4/11/2022b

     324,165  
  

HFOTCO, LLC, Term Loan

  
  873,937     

4.800%, (LIBOR 1M + 2.750%), 6/26/2025b

     871,211  
  

McDermott Technology (Americas), Inc., Term Loan

  
  797,850     

7.104%, (LIBOR 3M + 5.000%), 5/10/2025b

     501,648  
  

Radiate Holdco, LLC, Term Loan

  
  1,281,990     

5.044%, (LIBOR 1M + 3.000%), 2/1/2024b

     1,276,157  
  

 

 
  

Total

     4,272,614  
  

 

 
 

Financials (4.0%)

  
  

Avolon TLB Borrower 1 US, LLC, Term Loan

  
  626,140     

3.794%, (LIBOR 1M + 1.750%), 1/15/2025b

     628,069  
  

Blackstone CQP Holdco, LP, Term Loan

  
  309,225     

5.656%, (LIBOR 3M + 3.500%), 6/20/2024b

     310,385  
  

Cyxtera DC Holdings, Inc., Term Loan

  
  131,963     

5.040%, (LIBOR 1M + 3.000%), 5/1/2024b

     118,578  
  80,000     

9.300%, (LIBOR 1M + 7.250%), 5/1/2025b

     65,134  
  

Digicel International Finance, Ltd., Term Loan

  
  835,091     

5.340%, (LIBOR 3M + 3.250%), 5/27/2024b

     721,661  
  

Genworth Holdings, Inc., Term Loan

  
  147,750     

6.670%, (LIBOR 2M + 4.500%), 3/7/2023b,c

     148,119  
  

GGP Nimbus, LLC, Term Loan

  
  886,050     

4.544%, (LIBOR 1M + 2.500%), 8/24/2025b

     873,317  
  

Grizzly Finco, Term Loan

  
  613,800     

5.569%, (LIBOR 3M + 3.250%), 10/1/2025b

     608,300  
  

Harland Clarke Holdings Corporation, Term Loan

  
  724,206     

6.854%, (LIBOR 3M + 4.750%), 11/3/2023b

     563,070  
  

Level 3 Parent, LLC, Term Loan

  
  1,025,000     

4.294%, (LIBOR 1M + 2.250%), 2/22/2024b

     1,026,496  
  

MoneyGram International, Inc., Term Loan

  
  347,947     

8.044%, (LIBOR 1M + 6.000%), 6/30/2023b,c

     327,070  
  

NCR Corporation, Delayed Draw

  
  282,667     

0.000%, (LIBOR 3M + 2.500%), 8/28/2026b,d,e

     283,020  

Principal

Amount

  Bank Loans (27.7%)a   Value

Financials (4.0%) - continued

 
 

NCR Corporation, Term Loan

 

$247,333

 

0.000%, (LIBOR 3M + 2.500%), 8/28/2026b,d,e

    $247,642  
 

Sable International Finance, Ltd., Term Loan

 

1,386,347

 

5.294%, (LIBOR 2M + 3.250%), 1/31/2026b

    1,391,157  
 

Trans Union, LLC, Term Loan

 

424,520

 

4.044%, (LIBOR 1M + 2.000%), 4/9/2023b

    425,701  
 

Tronox Finance, LLC, Term Loan

 

686,906

 

4.817%, (LIBOR 1M + 2.750%), 9/22/2024b

    686,295  
 

 

 
 

Total

    8,424,014  
 

 

 

Technology (1.7%)

 
 

Clear Channel Outdoor Holdings, Inc., Term Loan

 

965,000

 

5.544%, (LIBOR 1M + 3.500%), 8/23/2026b

    967,065  
 

Prime Security Services Borrower, LLC, Term Loan

 

1,025,000

 

0.000%, (LIBOR 1M + 3.250%), 9/23/2026b,d,e

    1,013,633  
 

Rackspace Hosting, Inc., Term Loan

 

1,293,547

 

5.287%, (LIBOR 3M + 3.000%), 11/3/2023b

    1,185,005  
 

SS&C Technologies Holdings Europe SARL, Term Loan

 

170,407

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    170,833  
 

SS&C Technologies, Inc., Term Loan

 

257,989

 

4.294%, (LIBOR 1M + 2.250%), 4/16/2025b

    258,634  
 

 

 
 

Total

    3,595,170  
 

 

 

Utilities (0.4%)

 
 

Core and Main, LP, Term Loan

 

412,650

 

4.863%, (LIBOR 1M + 2.750%), 8/1/2024b

    408,784  
 

EnergySolutions, LLC, Term Loan

 

291,312

 

5.854%, (LIBOR 3M + 3.750%), 5/11/2025b

    270,192  
 

TerraForm Power Operating, LLC, Term Loan

 

265,940

 

4.044%, (LIBOR 1M + 2.000%), 11/8/2022b,c

    266,272  
 

 

 
 

Total

    945,248  
 

 

 
 

    

 

 

 

Total Bank Loans

(cost $59,732,316)

    58,254,178  
 

 

 
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

Asset-Backed Securities (5.1%)

 
 

Apidos CLO XXIV

 

460,000

 

3.728%, (LIBOR 3M + 1.450%), 10/20/2030, Ser. 2016-24A, Class A1BRb,g

    454,236  
 

Assurant CLO III, Ltd.

 

450,000

 

3.508%, (LIBOR 3M + 1.230%), 10/20/2031, Ser. 2018-2A, Class Ab,g

    449,303  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

232


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Asset-Backed Securities (5.1%) - continued

 
 

Babson CLO, Ltd.

 

$650,000

 

5.178%, (LIBOR 3M + 2.900%),
7/20/2029, Ser.
2018-3A, Class Db,g

    $607,582  
 

Bayview Opportunity Master Fund Trust

 

492,747

 

3.228%, 8/28/2034, Ser.
2019-LT1, Class A1g

    492,899  
 

Benefit Street Partners CLO IV, Ltd.

 

250,000

 

4.028%, (LIBOR 3M + 1.750%), 1/20/2029, Ser. 2014-IVA, Class A2RRb,g

    249,881  
 

Business Jet Securities, LLC

 

306,022

 

4.447%, 6/15/2033, Ser.
2018-2, Class Ag

    311,423  
 

Cent CLO, LP

 

875,000

 

4.576%, (LIBOR 3M + 2.300%), 10/25/2028, Ser. 2018-27A, Class Bb,g

    868,095  
 

College Ave Student Loans, LLC

 

206,831

 

3.668%, (LIBOR 1M + 1.650%), 11/26/2046, Ser. 2017-A, Class A1b,g

    207,576  
 

Foundation Finance Trust

 

169,107

 

3.300%, 7/15/2033, Ser. 2017-1A, Class Ag

    169,863  
 

Harley Marine Financing, LLC

 

262,480

 

5.682%, 5/15/2043, Ser. 2018-1A, Class A2g

    229,670  
 

Madison Park Funding XIV, Ltd.

 

425,000

 

3.678%, (LIBOR 3M + 1.400%), 10/22/2030, Ser. 2014-14A, Class A2RRb,g

    419,625  
 

Myers Park CLO, Ltd.

 

425,000

 

3.678%, (LIBOR 3M + 1.400%), 10/20/2030, Ser. 2018-1A, Class A2b,g

    418,538  
 

OHA Credit Funding 1, Ltd.

 

360,000

 

3.728%, (LIBOR 3M + 1.450%), 10/20/2030, Ser. 2018-1A, Class A2b,g

    355,610  
 

OZLM Funding II, Ltd.

 

710,000

 

3.766%, (LIBOR 3M + 1.500%), 7/30/2031, Ser. 2012-2A, Class A1BRb,g

    703,521  
 

OZLM IX, Ltd.

 

550,000

 

3.828%, (LIBOR 3M + 1.550%), 10/20/2031, Ser. 2014-9A, Class A1BRb,g

    547,190  
 

Palmer Square Loan Funding, Ltd.

 

250,000

 

4.528%, (LIBOR 3M + 2.250%), 4/20/2027, Ser. 2019-1A, Class Bb,g

    247,958  
 

Park Avenue Institutional Advisers CLO, Ltd.

 

700,000

 

3.778%, (LIBOR 3M + 1.500%), 10/20/2031, Ser. 2018-1A, Class A1Bb,g

    689,403  
 

Preston Ridge Partners Mortgage Trust, LLC

 

32,737

 

4.250%, 1/25/2022, Ser. 2017-1A, Class A1g,h

    32,808  
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Asset-Backed Securities (5.1%) - continued

 
 

Pretium Mortgage Credit Partners, LLC

 

$590,666

 

3.721%, 1/25/2059, Ser.
2019-CFL1, Class A1g,h

    $589,397  
 

Riserva CLO, Ltd.

 

375,000

 

4.000%, (LIBOR 3M + 1.700%), 10/18/2028, Ser.
2016-3A, Class BRb,g

    374,101  
 

Saxon Asset Securities Trust

 

51,602

 

4.117%, 8/25/2035, Ser. 2004-2, Class MF2

    51,076  
 

Sound Point CLO X, Ltd.

 

375,000

 

4.978%, (LIBOR 3M + 2.700%), 1/20/2028, Ser.
2015-3A, Class DRb,g

    364,615  
 

Sound Point CLO XXI, Ltd.

 

700,000

 

3.717%, (LIBOR 3M + 1.450%), 10/26/2031, Ser.
2018-3A, Class A1Bb,g

    689,144  
 

THL Credit Wind River CLO, Ltd.

 

325,000

 

5.153%, (LIBOR 3M + 2.850%), 7/15/2028, Ser.
2016-1A, Class DRb,g

    316,044  
 

Vericrest Opportunity Loan Transferee

 

400,000

 

4.704%, 8/25/2048, Ser.
2018-NPL5, Class A1Bg,h

    398,584  

445,248

 

3.352%, 9/25/2049, Ser. 2019-NPL5, Class A1Ag,h

    446,633  
 

 

 
 

Total

    10,684,775  
 

 

 

Basic Materials (0.8%)

 
 

Anglo American Capital plc

 

74,000

 

4.125%, 9/27/2022g

    77,078  
 

BHP Billiton Finance USA, Ltd.

 

75,000

 

6.750%, 10/19/2075b,g

    87,656  
 

CF Industries, Inc.

 

200,000

 

3.450%, 6/1/2023

    203,000  
 

First Quantum Minerals, Ltd.

 

240,000

 

7.500%, 4/1/2025g

    236,400  
 

Kinross Gold Corporation

 

38,000

 

5.125%, 9/1/2021

    39,425  
 

Novelis Corporation

 

230,000

 

5.875%, 9/30/2026g

    241,212  
 

Olin Corporation

 

200,000

 

5.125%, 9/15/2027

    204,500  
 

Packaging Corporation of America

 

64,000

 

2.450%, 12/15/2020

    64,133  
 

Peabody Securities Finance Corporation

 

170,000

 

6.375%, 3/31/2025g

    167,982  
 

Syngenta Finance NV

 

75,000

 

3.933%, 4/23/2021g

    76,372  
 

Tronox Finance plc

 

130,000

 

5.750%, 10/1/2025g

    122,948  
 

Vale Overseas, Ltd.

 

23,000

 

4.375%, 1/11/2022

    23,748  
 

Xstrata Finance Canada, Ltd.

 

57,000

 

4.950%, 11/15/2021g

    59,622  
 

 

 
 

Total

    1,604,076  
 

 

 

Capital Goods (1.8%)

 
 

AECOM

 

110,000

 

5.875%, 10/15/2024

    119,570  

180,000

 

5.125%, 3/15/2027

    189,000  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

233


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Capital Goods (1.8%) - continued

 
 

Amsted Industries, Inc.

 

$150,000

 

5.625%, 7/1/2027g

    $158,250  
 

Ardagh Packaging Finance plc

 

220,000

 

6.000%, 2/15/2025g

    230,032  
 

Bombardier, Inc.

 

340,000

 

7.500%, 3/15/2025g

    339,575  
 

Building Materials Corporation of America

 

175,000

 

6.000%, 10/15/2025g

    183,480  
 

Caterpillar Financial Services Corporation

 

62,000

 

1.850%, 9/4/2020

    61,910  

55,000

 

1.900%, 9/6/2022

    54,930  
 

Cemex SAB de CV

 

130,000

 

5.700%, 1/11/2025g

    133,732  
 

Cintas Corporation No. 2

 

57,000

 

2.900%, 4/1/2022

    58,248  
 

CNH Industrial Capital, LLC

 

60,000

 

4.875%, 4/1/2021

    62,111  
 

Covanta Holding Corporation

 

120,000

 

6.000%, 1/1/2027

    126,300  
 

Crown Americas Capital Corporation IV

 

120,000

 

4.500%, 1/15/2023

    126,000  
 

Crown Cork & Seal Company, Inc.

 

170,000

 

7.375%, 12/15/2026

    206,550  
 

General Electric Company

 

133,000

 

5.000%, 1/21/2021b,i

    126,184  
 

H&E Equipment Services, Inc.

 

220,000

 

5.625%, 9/1/2025

    226,468  
 

L3Harris Technologies, Inc.

 

75,000

 

4.950%, 2/15/2021g

    77,058  
 

Lockheed Martin Corporation

 

35,000

 

2.500%, 11/23/2020

    35,154  
 

Owens-Brockway Glass Container, Inc.

 

270,000

 

5.000%, 1/15/2022g

    278,491  
 

Parker-Hannifin Corporation

 

71,000

 

2.700%, 6/14/2024

    72,323  
 

Republic Services, Inc.

 

34,000

 

2.500%, 8/15/2024

    34,375  
 

Reynolds Group Issuer, Inc.

 

240,000

 

5.125%, 7/15/2023g

    245,700  
 

Rockwell Collins, Inc.

 

42,000

 

2.800%, 3/15/2022

    42,692  
 

Roper Technologies, Inc.

 

60,000

 

2.800%, 12/15/2021

    60,961  

39,000

 

2.350%, 9/15/2024

    39,011  
 

Textron Financial Corporation

 

200,000

 

3.893%, (LIBOR 3M +
1.735%), 2/15/2042b,g

    151,254  
 

United Rentals North America, Inc.

 

170,000

 

5.500%, 7/15/2025

    176,885  

60,000

 

4.625%, 10/15/2025

    61,229  
 

United Technologies Corporation

 

80,000

 

3.950%, 8/16/2025

    87,578  
 

Waste Management, Inc.

 

34,000

 

2.950%, 6/15/2024

    35,156  
 

 

 
 

Total

    3,800,207  
 

 

 

Collateralized Mortgage Obligations (8.9%)

 
 

Alternative Loan Trust 2007-6

 

195,178

 

5.750%, 4/25/2047, Ser.
2007-6, Class A4

    172,547  
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Collateralized Mortgage Obligations (8.9%) - continued

 
 

Antler Mortgage Trust

 

$350,000

 

4.458%, 6/27/2022, Ser.
2019-RTL1, Class A1g

    $354,743  

1,075,000

 

4.335%, 7/25/2022, Ser. 2018-RTL1, Class A1g

    1,080,987  
 

Banc of America Mortgage Securities Trust

 

393,010

 

4.305%, 9/25/2035, Ser. 2005-H, Class 3A1b

    391,430  
 

Bear Stearns Adjustable Rate Mortgage Trust

 

70,736

 

4.270%, (CMT 1Y + 2.300%), 10/25/2035, Ser. 2005-9, Class A1b

    72,645  
 

Bear Stearns ARM Trust

 

144,121

 

4.471%, 1/25/2034, Ser. 2003-8, Class 5Ab

    144,793  
 

Bellemeade Re 2018-1, Ltd.

 

658,178

 

3.618%, (LIBOR 1M + 1.600%), 4/25/2028, Ser. 2018-1A, Class M1Bb,g

    658,905  
 

Cascade Funding Mortgage Trust

 

177,615

 

4.580%, 6/25/2048, Ser. 2018-RM1, Class A1g

    177,463  
 

ChaseFlex Trust

 

251,066

 

6.500%, 2/25/2035, Ser. 2005-1, Class 1A5

    251,166  
 

CHL Mortgage Pass-Through Trust

 

253,065

 

3.837%, 11/20/2035, Ser. 2005-HYB7, Class 6A1b

    231,012  

156,934

 

4.254%, 12/20/2035, Ser. 2005-HYB8, Class 3A1b

    153,921  

117,443

 

6.000%, 4/25/2037, Ser. 2007-3, Class A18

    98,058  
 

CIM Trust

 

246,493

 

5.000%, 12/25/2057, Ser. 2018-R3, Class A1b,g

    258,285  
 

Citigroup Mortgage Loan Trust, Inc.

 

504,346

 

4.738%, 4/25/2037, Ser. 2007-AR5, Class 1A1Ab

    503,679  
 

Countrywide Alternative Loan Trust

 

214,458

 

5.500%, 5/25/2035, Ser. 2005-J3, Class 1A5

    202,976  

83,964

 

5.750%, 8/25/2035, Ser. 2005-28CB, Class 2A5

    76,605  

88,857

 

5.500%, 10/25/2035, Ser. 2005-46CB, Class A8

    84,112  

31,376

 

5.500%, 2/25/2036, Ser. 2005-85CB, Class 2A2

    30,361  

45,914

 

6.000%, 1/25/2037, Ser. 2006-39CB, Class 1A16

    45,807  
 

Countrywide Home Loan Mortgage Pass Through Trust

 

137,321

 

3.985%, 11/25/2035, Ser. 2005-22, Class 2A1b

    124,523  
 

Credit Suisse Mortgage Capital Certificates

 

498,253

 

3.322%, 10/25/2058, Ser. 2019-RPL8, Class A1b,g

    500,363  
 

Deutsche Alt-A Securities, Inc., Mortgage Loan Trust

 

200,136

 

5.250%, 6/25/2035, Ser. 2005-3, Class 4A6

    209,438  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

234


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Collateralized Mortgage Obligations (8.9%) - continued

 
 

Eagle Re, Ltd.

 

$750,000

 

3.818%, (LIBOR 1M + 1.800%), 4/25/2029, Ser. 2019-1, Class M1Bb,g

    $752,870  
 

Federal Home Loan Mortgage Corporation - REMIC

 

887,924

 

3.000%, 5/15/2027, Ser. 4046, Class GIj

    60,056  

712,835

 

3.000%, 7/15/2027, Ser. 4084, Class NIj

    52,941  

981,928

 

3.500%, 10/15/2032, Ser. 4119, Class KIj

    118,743  

1,098,924

 

3.000%, 4/15/2033, Ser. 4203, Class DIj

    82,531  
 

Federal National Mortgage Association - REMIC

 

651,171

 

3.000%, 7/25/2027, Ser. 2012-73, Class DIj

    48,378  

986,207

 

3.000%, 7/25/2027, Ser. 2012-74, Class AIj

    64,473  

1,503,087

 

3.000%, 8/25/2027, Ser. 2012-95, Class HIj

    96,981  

2,165,122

 

3.000%, 11/25/2027, Ser. 2012-121, Class BIj

    156,459  

1,274,245

 

3.000%, 12/25/2027, Ser. 2012-139, Class DIj

    87,214  

560,886

 

2.500%, 1/25/2028, Ser. 2012-152, Class AIj

    36,689  

1,688,205

 

3.000%, 1/25/2028, Ser. 2012-147, Class EIj

    115,643  

2,724,539

 

3.000%, 3/25/2028, Ser. 2013-18, Class ILj

    183,153  

984,736

 

2.500%, 6/25/2028, Ser. 2013-87, Class IWj

    65,324  

1,159,388

 

3.000%, 11/25/2031, Ser. 2013-69, Class IOj

    71,662  

596,176

 

3.000%, 2/25/2033, Ser. 2013-1, Class YIj

    69,449  
 

First Horizon Alternative Mortgage Securities Trust

 

87,399

 

4.245%, 7/25/2035, Ser. 2005-AA5, Class 2A1b

    86,707  
 

FWD Securitization Trust

 

478,316

 

2.810%, 6/25/2049, Ser. 2019-INV1, Class A1b,g

    480,200  
 

GMAC Mortgage Corporation Loan Trust

 

89,919

 

4.072%, 5/25/2035, Ser. 2005-AR2, Class 4Ab

    88,177  

49,522

 

2.518%, (LIBOR 1M + 0.500%), 8/25/2035, Ser. 2005-HE1, Class A2b,k

    58,759  

16,378

 

4.031%, 9/19/2035, Ser. 2005-AR5, Class 5A1b

    15,551  
 

GSAA Home Equity Trust

 

76,740

 

4.485%, 8/25/2034, Ser. 2004-10, Class M2h

    80,087  
 

Home Equity Asset Trust

 

405,131

 

3.338%, (LIBOR 1M + 1.320%), 8/25/2033, Ser. 2003-2, Class M1b

    407,553  
 

IndyMac INDA Mortgage Loan Trust

 

908,633

 

3.868%, 8/25/2036, Ser. 2006-AR1, Class A1b

    879,550  
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Collateralized Mortgage Obligations (8.9%) - continued

 
 

IndyMac INDX Mortgage Loan Trust

 

$127,305

 

2.228%, (LIBOR 1M + 0.210%), 4/25/2046, Ser. 2006-AR2, Class 1A1Bb

    $120,173  
 

J.P. Morgan Alternative Loan Trust

 

92,332

 

6.500%, 3/25/2036, Ser. 2006-S1, Class 1A19

    77,255  
 

J.P. Morgan Mortgage Trust

 

72,164

 

6.500%, 1/25/2035, Ser. 2005-S1, Class 1A2

    80,565  

97,928

 

4.480%, 7/25/2035, Ser. 2007-A1, Class 2A1b

    100,271  

107,908

 

4.339%, 6/25/2036, Ser. 2006-A4, Class 2A2b

    98,307  
 

Legacy Mortgage Asset Trust

 

404,750

 

4.000%, 1/25/2059, Ser. 2019-GS1, Class A1g

    409,604  
 

Long Beach Mortgage Loan Trust

 

303,964

 

3.518%, (LIBOR 1M + 1.500%), 9/25/2034, Ser. 2004-5, Class M3b

    309,174  
 

Master Asset Securitization Trust

 

444,954

 

2.518%, (LIBOR 1M + 0.500%), 6/25/2036, Ser. 2006-2, Class 2A2b

    186,679  
 

MASTR Alternative Loans Trust

 

84,995

 

5.000%, 10/25/2019, Ser. 2004-10, Class 3A1

    83,507  
 

Merrill Lynch Alternative Note Asset Trust

 

104,057

 

6.000%, 3/25/2037, Ser. 2007-F1, Class 2A1

    77,162  
 

Merrill Lynch Mortgage Investors Trust

 

214,825

 

4.338%, 6/25/2035, Ser. 2005-A5, Class M1b

    225,575  
 

Oak Hill Advisors Residential Loan Trust

 

28,177

 

3.125%, 6/25/2057, Ser. 2017-NPL1, Class A1g,h

    28,176  
 

Oaktown Re III, Ltd.

 

700,000

 

3.418%, (LIBOR 1M + 1.400%), 7/25/2029, Ser. 2019-1A, Class M1Ab,g

    701,137  
 

Preston Ridge Partners Mortgage Trust, LLC

 

130,875

 

4.500%, 1/25/2024, Ser. 2019-1A, Class A1g,h

    131,800  

422,834

 

3.967%, 4/25/2024, Ser. 2019-2A, Class A1g,h

    427,119  
 

Pretium Mortgage Credit Partners, LLC

 

312,461

 

4.213%, 7/25/2060, Ser. 2019-NPL1, Class A1g,h

    315,052  
 

Radnor RE, Ltd.

 

565,117

 

3.418%, (LIBOR 1M + 1.400%), 3/25/2028, Ser. 2018-1, Class M1b,g

    565,887  
 

RCO 2017-INV1 Trust

 

277,035

 

3.197%, 11/25/2052, Ser. 2017-INV1, Class Ab,g

    275,386  
 

Renaissance Home Equity Loan Trust

 

223,730

 

5.797%, 8/25/2036, Ser. 2006-2, Class AF3h

    124,666  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

235


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Collateralized Mortgage Obligations (8.9%) - continued

 

$183,010

 

5.285%, 1/25/2037, Ser. 2006-4, Class AF2h

    $94,178  
 

Residential Accredit Loans, Inc. Trust

 

262,924

 

6.000%, 8/25/2035, Ser. 2005-QS10, Class 2A

    264,788  

104,936

 

6.000%, 1/25/2037, Ser. 2007-QS1, Class 1A1

    99,443  
 

Starwood Mortgage Residential Trust

 

336,599

 

4.121%, 10/25/2048, Ser. 2018-IMC2, Class A1b,g

    342,985  
 

Structured Asset Mortgage Investments, Inc.

 

196,317

 

2.328%, (LIBOR 1M + 0.310%), 12/25/2035, Ser. 2005-AR4, Class A1b

    197,253  
 

Toorak Mortgage Corporation

 

550,000

 

4.375%, 8/25/2021, Ser. 2018-1, Class A1g,h

    555,633  

450,000

 

4.458%, 3/25/2022, Ser. 2019-1, Class A1g,h

    457,233  
 

Vericrest Opportunity Loan Trust

 

291,923

 

3.750%, 4/25/2048, Ser. 2018-NPL1, Class A1g,h

    292,389  

194,684

 

3.967%, 3/25/2049, Ser. 2019-NPL3, Class A1g,h

    195,771  

217,102

 

3.352%, 8/25/2049, Ser. 2019-NPL4, Class A1Ag,h

    217,491  
 

Verus Securitization Trust

 

447,294

 

3.345%, 4/25/2059, Ser. 2019-2, Class A2b,g

    449,814  
 

Wachovia Asset Securitization, Inc.

 

181,786

 

2.158%, (LIBOR 1M + 0.140%), 7/25/2037, Ser. 2007-HE1, Class Ab,g,k

    170,534  
 

WaMu Mortgage Pass Through Certificates

 

61,426

 

3.909%, 10/25/2036, Ser. 2006-AR12, Class 1A1b

    60,349  

17,037

 

3.876%, 8/25/2046, Ser. 2006-AR8, Class 1A1b

    16,459  

252,609

 

3.326%, (12 MTA + 0.880%), 10/25/2046, Ser. 2006-AR13, Class 1Ab

    239,405  

83,430

 

3.186%, (12 MTA + 0.740%), 1/25/2047, Ser. 2006-AR19, Class 1Ab

    80,980  
 

Wells Fargo Home Equity Trust

 

142,975

 

2.518%, (LIBOR 1M + 0.500%), 4/25/2034, Ser. 2004-1, Class M1b

    141,002  
 

Wells Fargo Mortgage Backed Securities Trust

 

148,604

 

4.908%, 12/25/2034, Ser. 2004-EE, Class B1b

    149,326  

56,665

 

5.005%, 3/25/2036, Ser. 2006-AR2, Class 2A1b

    58,223  

168,717

 

5.500%, 4/25/2036, Ser. 2006-4, Class 2A2

    166,404  

58,405

 

6.000%, 7/25/2037, Ser. 2007-10, Class 1A1

    58,861  
 

 

 
 

Total

    18,628,985  
 

 

 
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Communications Services (2.4%)

 
 

AMC Networks, Inc.

 

$195,000

 

5.000%, 4/1/2024

    $200,850  
 

American Tower Corporation

 

30,000

 

2.800%, 6/1/2020

    30,114  

42,000

 

2.950%, 1/15/2025

    42,911  
 

AT&T, Inc.

 

144,000

 

4.450%, 4/1/2024

    155,777  
 

CCO Holdings, LLC

 

275,000

 

5.500%, 5/1/2026g

    288,035  

110,000

 

5.125%, 5/1/2027g

    114,812  
 

CCOH Safari, LLC

 

185,000

 

5.750%, 2/15/2026g

    195,175  
 

Charter Communications Operating, LLC

 

98,000

 

3.579%, 7/23/2020

    98,877  

40,000

 

4.500%, 2/1/2024

    42,977  

34,000

 

4.908%, 7/23/2025

    37,365  
 

Comcast Corporation

 

76,000

 

1.625%, 1/15/2022

    75,708  

39,000

 

3.700%, 4/15/2024

    41,583  

39,000

 

3.950%, 10/15/2025

    42,463  
 

Cox Communications, Inc.

 

54,000

 

2.950%, 6/30/2023g

    54,763  
 

Crown Castle International Corporation

 

35,000

 

3.400%, 2/15/2021

    35,479  

42,000

 

3.150%, 7/15/2023

    43,129  
 

CSC Holdings, LLC

 

135,000

 

5.500%, 5/15/2026g

    142,074  
 

Deutsche Telekom International Finance BV

 

34,000

 

2.485%, 9/19/2023g

    34,189  
 

Discovery Communications, LLC

 

75,000

 

2.950%, 3/20/2023

    76,208  
 

Embarq Corporation

 

120,000

 

7.995%, 6/1/2036

    118,613  
 

Fox Corporation

 

73,000

 

4.030%, 1/25/2024g

    77,661  
 

Frontier Communications Corporation

 

110,000

 

8.000%, 4/1/2027g

    116,016  
 

Gray Escrow, Inc.

 

215,000

 

7.000%, 5/15/2027g

    236,220  
 

Level 3 Communications, Inc.

 

150,000

 

5.375%, 1/15/2024

    152,977  
 

Level 3 Financing, Inc.

 

220,000

 

5.250%, 3/15/2026

    228,767  
 

Moody’s Corporation

 

38,000

 

2.750%, 12/15/2021

    38,502  
 

Neptune Finco Corporation

 

115,000

 

10.875%, 10/15/2025g

    130,232  
 

Netflix, Inc.

 

225,000

 

4.875%, 4/15/2028

    228,926  
 

Nexstar Escrow Corporation

 

173,000

 

5.625%, 8/1/2024g

    180,067  
 

Orange SA

 

60,000

 

1.625%, 11/3/2019

    59,956  
 

Sirius XM Radio, Inc.

 

220,000

 

5.000%, 8/1/2027g

    226,919  
 

Sprint Corporation

 

405,000

 

7.625%, 2/15/2025

    445,500  
 

Telefonica Emisiones SAU

 

49,000

 

4.570%, 4/27/2023

    52,819  
 

T-Mobile USA, Inc.

 

340,000

 

4.500%, 2/1/2026

    349,962  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

236


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Communications Services (2.4%) - continued

 
 

Verizon Communications, Inc.

 

$86,000

 

2.946%, 3/15/2022

    $88,061  

84,000

 

3.258%, (LIBOR 3M + 1.100%), 5/15/2025b

    85,298  
 

Viacom, Inc.

 

58,000

 

4.250%, 9/1/2023

    61,510  

85,000

 

5.875%, 2/28/2057b

    88,241  
 

Virgin Media Secured Finance plc

 

220,000

 

5.250%, 1/15/2026g

    226,050  
 

Vodafone Group plc

 

51,000

 

3.750%, 1/16/2024

    53,772  
 

 

 
 

Total

    4,998,558  
 

 

 

Consumer Cyclical (2.7%)

 
 

Allison Transmission, Inc.

 

245,000

 

5.000%, 10/1/2024g

    250,359  
 

American Honda Finance Corporation

 

57,000

 

2.000%, 2/14/2020

    56,995  

55,000

 

2.050%, 1/10/2023

    54,928  
 

BMW Finance NV

 

40,000

 

2.250%, 8/12/2022g

    40,035  
 

Brookfield Property REIT, Inc.

 

110,000

 

5.750%, 5/15/2026g

    114,950  
 

Brookfield Residential Properties, Inc.

 

235,000

 

6.250%, 9/15/2027g

    236,175  
 

Cinemark USA, Inc.

 

230,000

 

4.875%, 6/1/2023

    233,162  
 

D.R. Horton, Inc.

 

62,000

 

2.550%, 12/1/2020

    62,182  
 

Daimler Finance North America, LLC

 

39,000

 

2.550%, 8/15/2022g

    39,149  
 

Ford Motor Credit Company, LLC

 

50,000

 

2.597%, 11/4/2019

    49,998  

57,000

 

3.336%, 3/18/2021

    57,265  

75,000

 

5.596%, 1/7/2022

    78,799  
 

General Motors Financial Company, Inc.

 

57,000

 

2.650%, 4/13/2020

    57,075  

57,000

 

4.375%, 9/25/2021

    58,887  

37,000

 

4.200%, 11/6/2021

    38,171  

38,000

 

3.150%, 6/30/2022

    38,440  

25,000

 

6.500%, 9/30/2028b,i

    25,125  
 

Hanesbrands, Inc.

 

170,000

 

4.875%, 5/15/2026g

    179,605  
 

Harley-Davidson Financial Services, Inc.

 

54,000

 

4.050%, 2/4/2022g

    55,696  
 

Hilton Domestic Operating Company, Inc.

 

230,000

 

4.875%, 1/15/2030g

    242,845  
 

Home Depot, Inc.

 

35,000

 

2.625%, 6/1/2022

    35,810  
 

Hyundai Capital America

 

51,000

 

3.000%, 6/20/2022g

    51,388  
 

L Brands, Inc.

 

229,000

 

6.694%, 1/15/2027

    224,992  
 

Landry’s, Inc.

 

220,000

 

6.750%, 10/15/2024g

    225,500  
 

Lennar Corporation

 

57,000

 

2.950%, 11/29/2020

    56,926  

22,000

 

4.125%, 1/15/2022

    22,523  

270,000

 

4.500%, 4/30/2024

    284,445  
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Consumer Cyclical (2.7%) - continued

 
 

Live Nation Entertainment, Inc.

 

$135,000

 

5.375%, 6/15/2022g

    $136,688  

120,000

 

5.625%, 3/15/2026g

    127,650  
 

Macy’s Retail Holdings, Inc.

 

17,000

 

3.875%, 1/15/2022

    17,290  

30,000

 

2.875%, 2/15/2023

    29,620  
 

Mattamy Group Corporation

 

230,000

 

6.500%, 10/1/2025g

    241,500  
 

McDonald’s Corporation

 

72,000

 

3.350%, 4/1/2023

    75,149  
 

MGM Resorts International

 

170,000

 

6.000%, 3/15/2023

    187,289  

220,000

 

5.750%, 6/15/2025

    242,275  
 

Navistar International Corporation

 

210,000

 

6.625%, 11/1/2025g

    213,150  
 

New Red Finance, Inc.

 

190,000

 

4.250%, 5/15/2024g

    195,455  

60,000

 

5.000%, 10/15/2025g

    61,980  
 

Prime Security Services Borrower, LLC

 

240,000

 

5.750%, 4/15/2026g

    249,912  
 

Ralph Lauren Corporation

 

35,000

 

2.625%, 8/18/2020

    35,221  
 

Scientific Games International, Inc.

 

110,000

 

5.000%, 10/15/2025g

    113,498  
 

ServiceMaster Company, LLC

 

220,000

 

5.125%, 11/15/2024g

    228,250  
 

Six Flags Entertainment Corporation

 

220,000

 

4.875%, 7/31/2024g

    227,700  
 

Viking Cruises, Ltd.

 

160,000

 

5.875%, 9/15/2027g

    169,536  
 

Visa, Inc.

 

35,000

 

2.200%, 12/14/2020

    35,134  
 

Volkswagen Group of America Finance, LLC

 

63,000

 

4.250%, 11/13/2023g

    67,127  
 

Yum! Brands, Inc.

 

150,000

 

5.000%, 6/1/2024g

    155,625  

60,000

 

4.750%, 1/15/2030g

    61,875  
 

 

 
 

Total

    5,743,349  
 

 

 

Consumer Non-Cyclical (2.6%)

 
 

Abbott Laboratories

 

76,000

 

2.550%, 3/15/2022

    76,791  

40,000

 

3.400%, 11/30/2023

    42,050  
 

AbbVie, Inc.

 

76,000

 

2.500%, 5/14/2020

    76,173  

38,000

 

2.900%, 11/6/2022

    38,730  
 

Albertson’s Companies, LLC

 

240,000

 

6.625%, 6/15/2024

    251,400  
 

Allergan, Inc.

 

34,000

 

2.800%, 3/15/2023

    34,315  
 

Altria Group, Inc.

 

34,000

 

3.800%, 2/14/2024

    35,546  

36,000

 

4.400%, 2/14/2026

    38,484  
 

Anheuser-Busch Companies, LLC

 

36,000

 

3.650%, 2/1/2026

    38,573  
 

Anheuser-Busch InBev Finance, Inc.

 

34,000

 

3.300%, 2/1/2023

    35,345  
 

Anheuser-Busch InBev Worldwide, Inc.

 

59,000

 

4.150%, 1/23/2025

    64,460  
 

B&G Foods, Inc.

 

150,000

 

5.250%, 9/15/2027

    153,390  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

237


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Consumer Non-Cyclical (2.6%) - continued

 
 

BAT Capital Corporation

 

$41,000

 

2.764%,8/15/2022

    $41,389  

59,000

 

3.222%,8/15/2024

    59,713  
 

Bayer U.S. Finance II, LLC

 

38,000

 

3.500%,6/25/2021g

    38,760  
 

Becton, Dickinson and Company

 

72,000

 

3.363%,6/6/2024

    75,105  
 

Boston Scientific Corporation

 

72,000

 

3.450%,3/1/2024

    75,122  
 

Bunge, Ltd. Finance Corporation

 

35,000

 

3.500%,11/24/2020

    35,378  
 

Celgene Corporation

 

59,000

 

3.625%,5/15/2024

    62,310  
 

Centene Corporation

 

225,000

 

4.750%,1/15/2025

    230,962  
 

Cigna Corporation

 

76,000

 

4.125%,11/15/2025

    81,836  
 

Conagra Brands, Inc.

 

38,000

 

3.800%,10/22/2021

    39,215  

38,000

 

4.300%,5/1/2024

    40,778  
 

Constellation Brands, Inc.

 

69,000

 

4.250%,5/1/2023

    73,771  
 

CVS Health Corporation

 

38,000

 

2.750%,12/1/2022

    38,466  

128,000

 

3.700%,3/9/2023

    133,226  

69,000

 

4.100%,3/25/2025

    73,678  
 

Energizer Holdings, Inc.

 

240,000

 

6.375%,7/15/2026g,l

    257,074  
 

Express Scripts Holding Company

 

38,000

 

4.750%,11/15/2021

    39,934  
 

Forest Laboratories, LLC

 

19,000

 

4.875%,2/15/2021g

    19,528  
 

General Mills, Inc.

 

34,000

 

3.700%,10/17/2023

    35,791  

34,000

 

3.650%,2/15/2024

    35,682  
 

HCA, Inc.

 

320,000

 

5.375%,2/1/2025

    349,600  
 

Imperial Brands Finance plc

 

34,000

 

3.125%,7/26/2024g

    34,072  
 

J.M. Smucker Company

 

41,000

 

2.200%,12/6/2019

    40,985  
 

JBS USA Lux SA

 

240,000

 

5.500%,1/15/2030g

    254,395  
 

JBS USA, LLC

 

60,000

 

5.750%,6/15/2025g

    62,509  
 

Kellogg Company

 

90,000

 

3.125%,5/17/2022

    92,055  
 

Keurig Dr Pepper, Inc.

 

84,000

 

3.551%,5/25/2021

    85,857  
 

Kroger Company

 

38,000

 

2.800%,8/1/2022

    38,667  
 

Mead Johnson Nutrition Company

 

35,000

 

3.000%,11/15/2020

    35,303  
 

Mondelez International Holdings Netherlands BV

 

58,000

 

2.000%,10/28/2021g

    57,884  
 

Mylan NV

 

42,000

 

3.150%,6/15/2021

    42,536  
 

Mylan, Inc.

 

34,000

 

4.200%,11/29/2023

    35,636  
 

Par Pharmaceutical, Inc.

 

110,000

 

7.500%,4/1/2027g

    100,100  
 

Pernod Ricard SA

 

50,000

 

5.750%,4/7/2021g

    52,614  
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Consumer Non-Cyclical (2.6%) - continued

 
 

Post Holdings, Inc.

 

$85,000

 

5.500%,3/1/2025g

    $89,037  
 

Reynolds American, Inc.

 

34,000

 

4.850%,9/15/2023

    36,799  
 

Shire Acquisitions Investments Ireland Designated Activity Company

 

74,000

 

2.400%,9/23/2021

    74,343  
 

Simmons Foods, Inc.

 

205,000

 

5.750%,11/1/2024g

    199,875  
 

Smithfield Foods, Inc.

 

57,000

 

2.700%,1/31/2020g

    56,966  
 

Spectrum Brands, Inc.

 

170,000

 

5.750%,7/15/2025

    177,393  
 

Teleflex, Inc.

 

200,000

 

4.875%,6/1/2026

    208,500  
 

Tenet Healthcare Corporation

 

50,000

 

4.625%,7/15/2024

    51,387  

170,000

 

5.125%,11/1/2027g

    175,670  
 

Teva Pharmaceutical Finance Netherlands III BV

 

45,000

 

2.200%,7/21/2021

    41,119  
 

UnitedHealth Group, Inc.

 

35,000

 

3.350%,7/15/2022

    36,266  
 

Valeant Pharmaceuticals International, Inc.

 

110,000

 

5.875%,5/15/2023g

    111,375  
 

VRX Escrow Corporation

 

455,000

 

6.125%,4/15/2025g

    472,063  
 

Zimmer Biomet Holdings, Inc.

 

69,000

 

3.550%,4/1/2025

    72,452  
 

Zoetis, Inc.

 

57,000

 

3.450%,11/13/2020

    57,735  

52,000

 

3.250%,2/1/2023

    53,379  
 

 

 
 

Total

    5,569,547  
 

 

 

Energy (2.5%)

 
 

Alliance Resource Operating Partners, LP

 

170,000

 

7.500%,5/1/2025g

    167,875  
 

Antero Resources Corporation

 

140,000

 

5.125%,12/1/2022

    122,850  

80,000

 

5.625%,6/1/2023

    69,200  
 

BP Capital Markets America, Inc.

 

162,000

 

2.520%,9/19/2022

    163,955  
 

BP Capital Markets plc

 

38,000

 

2.315%,2/13/2020

    38,041  
 

Canadian Natural Resources, Ltd.

 

40,000

 

2.950%,1/15/2023

    40,729  
 

Canadian Oil Sands, Ltd.

 

40,000

 

9.400%,9/1/2021g

    44,652  
 

Cheniere Corpus Christi Holdings, LLC

 

305,000

 

7.000%,6/30/2024

    350,369  
 

Cheniere Energy Partners, LP

 

280,000

 

5.625%,10/1/2026

    297,122  
 

Chesapeake Energy Corporation

 

220,000

 

7.000%,10/1/2024

    157,850  
 

Continental Resources, Inc.

 

21,000

 

5.000%,9/15/2022

    21,185  
 

Diamondback Energy, Inc.

 

265,000

 

4.750%,11/1/2024

    271,294  
 

Enbridge, Inc.

 

39,000

 

2.900%,7/15/2022

    39,740  

139,000

 

6.250%,3/1/2078b

    147,324  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

238


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Energy (2.5%) - continued

 
 

Energy Transfer Operating, LP

 

$42,000

 

4.200%, 9/15/2023

    $44,186  

69,000

 

5.875%, 1/15/2024

    76,717  

43,000

 

6.625%, 2/15/2028b,i

    40,635  
 

EnLink Midstream Partners, LP

 

220,000

 

4.850%, 7/15/2026

    209,000  
 

Enterprise Products Operating, LLC

 

105,000

 

4.875%, 8/16/2077b

    101,456  
 

EOG Resources, Inc.

 

45,000

 

2.625%, 3/15/2023

    45,871  
 

EQM Midstream Partners LP

 

59,000

 

4.750%, 7/15/2023

    59,222  
 

Hess Corporation

 

42,000

 

3.500%, 7/15/2024

    42,867  
 

Kinder Morgan Energy Partners, LP

 

76,000

 

3.450%, 2/15/2023

    78,384  
 

Marathon Oil Corporation

 

38,000

 

2.700%, 6/1/2020

    38,074  
 

Marathon Petroleum Corporation

 

34,000

 

4.750%, 12/15/2023

    36,900  
 

MPLX, LP

 

58,000

 

4.500%, 7/15/2023

    61,792  
 

Nabors Industries, Inc.

 

180,000

 

5.750%, 2/1/2025

    133,200  
 

Newfield Exploration Company

 

34,000

 

5.625%, 7/1/2024

    37,511  
 

Noble Energy, Inc.

 

51,000

 

3.900%, 11/15/2024

    53,470  
 

Occidental Petroleum Corporation

 

16,000

 

4.850%, 3/15/2021

    16,544  

71,000

 

2.700%, 8/15/2022

    71,621  

53,000

 

2.900%, 8/15/2024

    53,402  
 

Parsley Energy, LLC

 

180,000

 

5.625%, 10/15/2027g

    185,850  
 

Plains All American Pipeline, LP

 

92,000

 

5.000%, 2/1/2021

    94,380  

87,000

 

6.125%, 11/15/2022b,i

    81,951  

21,000

 

2.850%, 1/31/2023

    21,001  
 

Precision Drilling Corporation

 

50,000

 

7.750%, 12/15/2023

    48,573  

80,000

 

7.125%, 1/15/2026g

    74,000  
 

Sabine Pass Liquefaction, LLC

 

37,000

 

6.250%, 3/15/2022

    39,867  

37,000

 

5.625%, 4/15/2023

    40,206  
 

Southwestern Energy Company

 

205,000

 

7.500%, 4/1/2026

    178,350  
 

Sunoco Logistics Partners Operations, LP

 

35,000

 

4.400%, 4/1/2021

    35,951  
 

Sunoco, LP

 

120,000

 

5.500%, 2/15/2026

    125,240  

115,000

 

5.875%, 3/15/2028

    122,044  
 

Tallgrass Energy Partners, LP

 

355,000

 

5.500%, 1/15/2028g

    346,977  
 

Transocean Guardian, Ltd.

 

160,200

 

5.875%, 1/15/2024g

    161,001  
 

W&T Offshore, Inc.

 

200,000

 

9.750%, 11/1/2023g

    190,924  
 

Western Gas Partners, LP

 

39,000

 

4.000%, 7/1/2022

    39,473  
 

Williams Partners, LP

 

54,000

 

4.000%, 11/15/2021

    55,506  
 

WPX Energy, Inc.

 

155,000

 

5.750%, 6/1/2026

    158,875  
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Energy (2.5%) - continued

 

$60,000

 

5.250%, 10/15/2027

    $60,450  
 

 

 
 

Total

    5,193,657  
 

 

 

Financials (5.8%)

 
 

ACE INA Holdings, Inc.

 

35,000

 

2.875%, 11/3/2022

    35,878  
 

AIG Global Funding

 

78,000

 

2.150%, 7/2/2020g

    78,067  
 

Air Lease Corporation

 

78,000

 

2.500%, 3/1/2021

    78,228  
 

Aircastle, Ltd.

 

62,000

 

5.000%, 4/1/2023

    66,402  
 

Ally Financial, Inc.

 

200,000

 

5.750%, 11/20/2025

    224,004  
 

American Express Company

 

44,000

 

3.375%, 5/17/2021

    44,880  

34,000

 

3.700%, 8/3/2023

    35,824  

36,000

 

3.400%, 2/22/2024

    37,654  
 

Ares Capital Corporation

 

82,000

 

3.875%, 1/15/2020

    82,218  
 

Athene Global Funding

 

63,000

 

4.000%, 1/25/2022g

    65,383  
 

Australia and New Zealand Banking Group, Ltd.

 

68,000

 

6.750%, 6/15/2026b,g,i

    75,310  
 

Avolon Holdings Funding, Ltd.

 

18,000

 

5.250%, 5/15/2024g

    19,273  
 

BAC Capital Trust XIV

 

42,000

 

4.000%, (LIBOR 3M + 0.400%),
10/17/2019b,i

    36,729  
 

Bank of America Corporation

 

82,000

 

2.738%, 1/23/2022b

    82,474  

84,000

 

3.499%, 5/17/2022b

    85,664  

65,000

 

3.004%, 12/20/2023b

    66,385  

117,000

 

3.550%, 3/5/2024b

    121,675  

87,000

 

5.125%, 6/20/2024b,i

    90,154  

147,000

 

3.864%, 7/23/2024b

    154,820  

69,000

 

4.200%, 8/26/2024

    74,012  

125,000

 

6.250%, 9/5/2024b,i

    136,000  

36,000

 

3.458%, 3/15/2025b

    37,562  
 

Bank of Montreal

 

103,000

 

3.300%, 2/5/2024

    107,191  
 

Bank of New York Mellon Corporation

 

76,000

 

2.600%, 2/7/2022

    77,049  
 

Bank of Nova Scotia

 

42,000

 

2.718%, (LIBOR 3M + 0.440%), 4/20/2021b

    42,159  

57,000

 

2.700%, 3/7/2022

    57,997  

71,000

 

2.375%, 1/18/2023

    71,621  
 

Barclays plc

 

115,000

 

7.750%, 9/15/2023b,i

    119,677  

70,000

 

4.338%, 5/16/2024b

    73,127  
 

BB&T Corporation

 

81,000

 

2.150%, 2/1/2021

    81,131  

34,000

 

2.500%, 8/1/2024

    34,274  

60,000

 

4.800%, 9/1/2024b,i

    59,999  
 

BNP Paribas SA

 

157,000

 

7.625%, 3/30/2021b,g,i

    165,439  
 

BPCE SA

 

34,000

 

3.000%, 5/22/2022g

    34,501  
 

Camden Property Trust

 

34,000

 

4.875%, 6/15/2023

    36,970  
 

Capital One Bank USA NA

 

51,000

 

3.375%, 2/15/2023

    52,558  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

239


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Financials (5.8%) - continued

 
 

Capital One Financial Corporation

 

$115,000

 

3.050%, 3/9/2022

    $117,293  
 

Central Fidelity Capital Trust I

 

175,000

 

3.303%, (LIBOR 3M + 1.000%), 4/15/2027b

    162,750  
 

CIT Bank NA

 

40,000

 

2.969%, 9/27/2025b

    40,050  
 

CIT Group, Inc.

 

220,000

 

4.750%, 2/16/2024

    232,650  
 

Citigroup, Inc.

 

76,000

 

2.650%, 10/26/2020

    76,464  

69,000

 

2.350%, 8/2/2021

    69,316  

37,000

 

2.750%, 4/25/2022

    37,552  

40,000

 

2.946%, (LIBOR 3M + 0.690%), 10/27/2022b

    40,051  

81,000

 

3.142%, 1/24/2023b

    82,501  

84,000

 

5.000%, 9/12/2024b,i

    85,025  

105,000

 

3.352%, 4/24/2025b

    108,894  

42,000

 

5.950%, 5/15/2025b,i

    44,468  
 

CNA Financial Corporation

 

32,000

 

5.750%, 8/15/2021

    33,986  

36,000

 

3.950%, 5/15/2024

    38,639  
 

Commonwealth Bank of Australia

 

75,000

 

2.250%, 3/10/2020g

    75,068  
 

Cooperatieve Centrale Raiffeisen- Boerenleenbank BA

 

74,000

 

3.950%, 11/9/2022

    77,077  
 

Credit Agricole SA

 

37,000

 

3.375%, 1/10/2022g

    37,827  

64,300

 

8.125%, 12/23/2025b,g,i

    75,633  
 

Credit Suisse Group AG

 

63,000

 

7.500%, 12/11/2023b,g,i

    69,615  

39,000

 

2.593%, 9/11/2025b,g

    38,633  
 

Credit Suisse Group Funding (Guernsey), Ltd.

 

114,000

 

3.800%, 9/15/2022

    118,442  
 

Danske Bank AS

 

56,000

 

5.000%, 1/12/2022g

    58,877  
 

Deutsche Bank AG

 

42,000

 

2.700%, 7/13/2020

    41,914  

112,000

 

4.250%, 10/14/2021

    113,616  
 

Digital Realty Trust, LP

 

60,000

 

2.750%, 2/1/2023

    60,610  
 

Discover Bank

 

10,000

 

8.700%, 11/18/2019

    10,077  

59,000

 

2.450%, 9/12/2024

    58,840  
 

Discover Bank of Greenwood Delaware

 

34,000

 

4.200%, 8/8/2023

    36,143  
 

Fidelity National Financial, Inc.

 

62,000

 

5.500%, 9/1/2022

    66,537  
 

Fifth Third Bancorp

 

57,000

 

2.600%, 6/15/2022

    57,612  

36,000

 

3.650%, 1/25/2024

    37,952  
 

Five Corners Funding Trust

 

100,000

 

4.419%, 11/15/2023g

    108,114  
 

GE Capital International Funding Company

 

142,000

 

3.373%, 11/15/2025

    144,886  
 

General Electric Capital Corporation

 

36,000

 

3.100%, 1/9/2023

    36,479  
 

Goldman Sachs Group, Inc.

 

74,000

 

5.375%, 5/10/2020b,i

    74,555  

76,000

 

5.250%, 7/27/2021

    80,082  
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

 

 

Financials (5.8%) - continued

 

$55,000

 

3.328%, (LIBOR 3M + 1.170%), 11/15/2021b

    $55,422  

76,000

 

3.000%, 4/26/2022

    76,845  

63,000

 

2.876%, 10/31/2022b

    63,730  

39,000

 

3.177%, (LIBOR 3M + 1.050%), 6/5/2023b

    39,234  

72,000

 

3.625%, 2/20/2024

    75,534  

86,000

 

5.500%, 8/10/2024b,i

    90,300  
 

Guardian Life Global Funding

 

40,000

 

2.000%, 4/26/2021g

    39,977  
 

Hartford Financial Services Group, Inc.

 

34,000

 

4.283%, (LIBOR 3M + 2.125%), 2/12/2047b,g

    28,911  
 

Hospitality Properties Trust

 

40,000

 

4.250%, 2/15/2021

    40,542  
 

HSBC Holdings plc

 

114,000

 

3.400%, 3/8/2021

    115,744  

76,000

 

6.875%, 6/1/2021b,i

    79,724  

46,000

 

6.375%, 9/17/2024b,i

    48,271  
 

Huntington Bancshares, Inc.

 

55,000

 

3.150%, 3/14/2021

    55,739  
 

Icahn Enterprises, LP

 

75,000

 

6.750%, 2/1/2024

    78,000  

105,000

 

6.375%, 12/15/2025

    110,409  
 

ILFC E-Capital Trust II

 

63,000

 

4.020%, (H15T30Y + 1.800%), 12/21/2065b,g

    43,917  
 

ING Groep NV

 

80,000

 

6.000%, 4/16/2020b,i

    80,728  

66,000

 

4.100%, 10/2/2023

    70,066  
 

International Lease Finance Corporation

 

76,000

 

4.625%, 4/15/2021

    78,260  

76,000

 

5.875%, 8/15/2022

    83,269  
 

Iron Mountain, Inc.

 

64,810

 

6.000%, 8/15/2023

    66,340  

125,000

 

4.875%, 9/15/2027g

    127,835  
 

J.P. Morgan Chase & Company

 

57,000

 

2.818%, (LIBOR 3M + 0.680%), 6/1/2021b

    57,091  

91,000

 

2.776%, 4/25/2023b

    92,306  

69,000

 

3.375%, 5/1/2023

    71,385  

57,000

 

5.150%, 5/1/2023b,i

    58,639  

71,000

 

3.513%, (LIBOR 3M + 1.230%), 10/24/2023b

    72,126  

144,000

 

5.000%, 8/1/2024b,i

    147,960  

69,000

 

3.875%, 9/10/2024

    73,513  

141,000

 

4.023%, 12/5/2024b

    150,408  
 

Liberty Mutual Group, Inc.

 

10,000

 

5.000%, 6/1/2021g

    10,377  
 

Lincoln National Corporation

 

65,000

 

6.250%, 2/15/2020

    65,900  

40,000

 

4.481%, (LIBOR 3M + 2.358%), 5/17/2066b

    32,412  
 

Lloyds Banking Group plc

 

59,000

 

2.858%, 3/17/2023b

    59,190  

75,000

 

3.900%, 3/12/2024

    78,490  

80,000

 

6.657%, 5/21/2037b,g,i

    85,400  
 

Macquarie Bank, Ltd.

 

93,000

 

6.125%, 3/8/2027b,g,i

    93,581  
 

Marsh & McLennan Companies, Inc.

 

55,000

 

3.875%, 3/15/2024

    58,632  
 

Mitsubishi UFJ Financial Group, Inc.

 

38,000

 

2.998%, 2/22/2022

    38,662  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

240


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

Financials (5.8%) - continued

 

$52,000

 

2.623%, 7/18/2022

    $52,418  

82,000

 

3.455%, 3/2/2023

    84,871  

36,000

 

3.407%, 3/7/2024

    37,458  
 

Mizuho Financial Group, Inc.

 

52,000

 

2.721%, 7/16/2023b

    52,431  
 

Morgan Stanley

 

76,000

 

2.800%, 6/16/2020

    76,384  

75,000

 

5.500%, 7/28/2021

    79,558  

37,000

 

2.750%, 5/19/2022

    37,532  

26,000

 

4.875%, 11/1/2022

    27,881  

82,000

 

3.125%, 1/23/2023

    84,117  

36,000

 

2.720%, 7/22/2025b

    36,415  
 

MPT Operating Partnership, LP

 

110,000

 

5.500%, 5/1/2024

    112,887  

120,000

 

4.625%, 8/1/2029

    123,600  
 

Park Aerospace Holdings, Ltd.

 

18,000

 

4.500%, 3/15/2023g

    18,626  
 

PNC Bank NA

 

75,000

 

2.450%, 11/5/2020

    75,335  
 

PNC Financial Services Group, Inc.

 

34,000

 

3.500%, 1/23/2024

    35,923  
 

Quicken Loans, Inc.

 

255,000

 

5.750%, 5/1/2025g

    262,969  
 

Realty Income Corporation

 

57,000

 

5.750%, 1/15/2021

    59,114  
 

Regions Financial Corporation

 

35,000

 

3.200%, 2/8/2021

    35,431  

42,000

 

3.800%, 8/14/2023

    44,306  
 

Reinsurance Group of America, Inc.

 

57,000

 

4.700%, 9/15/2023

    61,596  
 

Royal Bank of Canada

 

74,000

 

2.125%, 3/2/2020

    74,050  
 

Royal Bank of Scotland Group plc

 

108,000

 

8.625%, 8/15/2021b,i

    115,652  

34,000

 

6.125%, 12/15/2022

    36,789  

34,000

 

6.100%, 6/10/2023

    37,033  

220,000

 

5.125%, 5/28/2024

    234,524  

81,000

 

4.269%, 3/22/2025b

    84,714  
 

Santander Holdings USA, Inc.

 

55,000

 

4.450%, 12/3/2021

    57,443  
 

Santander UK Group Holdings plc

 

85,000

 

2.875%, 8/5/2021

    85,304  
 

Simon Property Group, LP

 

60,000

 

2.500%, 7/15/2021

    60,466  

35,000

 

2.000%, 9/13/2024

    34,642  
 

SITE Centers Corporation

 

21,000

 

4.625%, 7/15/2022

    21,951  
 

Societe Generale SA

 

135,000

 

8.000%, 9/29/2025b,g,i

    152,044  
 

Standard Chartered plc

 

60,000

 

2.744%, 9/10/2022b,g

    60,062  
 

State Street Capital Trust IV

 

251,000

 

3.119%, (LIBOR 3M + 1.000%), 6/15/2047b

    192,620  
 

Sumitomo Mitsui Financial Group, Inc.

 

37,000

 

2.784%, 7/12/2022

    37,551  

144,000

 

2.778%, 10/18/2022

    146,169  

48,000

 

2.448%, 9/27/2024

    47,968  
 

SunTrust Banks, Inc.

 

35,000

 

2.900%, 3/3/2021

    35,364  
 

Synchrony Financial

 

15,000

 

3.517%, (LIBOR 3M + 1.230%), 2/3/2020b

    15,032  

34,000

 

2.850%, 7/25/2022

    34,300  
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

Financials (5.8%) - continued

 

$33,000

 

4.250%, 8/15/2024

    $34,817  
 

Toronto-Dominion Bank

 

74,000

 

2.550%, 1/25/2021

    74,558  

36,000

 

3.250%, 3/11/2024

    37,653  
 

UBS Group Funding Jersey, Ltd.

 

74,000

 

3.000%, 4/15/2021g

    74,886  
 

USB Realty Corporation

 

224,000

 

3.450%, (LIBOR 3M + 1.147%), 1/15/2022b,g,i

    191,520  
 

Ventas Realty, LP

 

42,000

 

3.100%, 1/15/2023

    43,085  

34,000

 

3.750%, 5/1/2024

    35,863  
 

Wachovia Capital Trust II

 

50,000

 

2.803%, (LIBOR 3M + 0.500%), 1/15/2027b

    46,250  
 

Wells Fargo & Company

 

35,000

 

2.100%, 7/26/2021

    34,990  

38,000

 

2.625%, 7/22/2022

    38,423  

108,000

 

3.393%, (LIBOR 3M + 1.110%), 1/24/2023b

    109,185  

69,000

 

4.125%, 8/15/2023

    73,213  

80,000

 

3.486%, (LIBOR 3M + 1.230%), 10/31/2023b

    81,209  

36,000

 

3.750%, 1/24/2024

    38,126  
 

Westpac Banking Corporation

 

75,000

 

2.974%, (LIBOR 3M + 0.850%), 8/19/2021b

    75,812  
 

 

 
 

Total

    12,137,506  
 

 

 

Mortgage-Backed Securities (16.0%)

 
 

Federal Home Loan Mortgage Corporation

 

940,219

 

3.500%, 8/15/2035, Ser. 345, Class C8j

    98,861  
 

Federal National Mortgage Association Conventional 15-Yr. Pass Through

 

3,100,000

 

2.500%, 10/1/2034e

    3,126,701  

2,800,000

 

3.500%, 10/1/2034e

    2,896,031  

7,852,000

 

3.000%, 10/1/2034e

    8,027,136  
 

Federal National Mortgage Association Conventional 30-Yr. Pass Through

 

5,720,000

 

3.500%, 10/1/2049e

    5,868,586  

13,338,000

 

3.000%, 10/1/2049e

    13,541,196  
 

 

 
 

Total

    33,558,511  
 

 

 

Technology (1.3%)

 
 

Apple, Inc.

 

80,000

 

2.400%, 1/13/2023

    81,306  

120,000

 

3.450%, 5/6/2024

    127,769  
 

Baidu, Inc.

 

40,000

 

3.000%, 6/30/2020

    40,138  
 

Broadcom Corporation

 

82,000

 

2.650%, 1/15/2023

    81,924  
 

CommScope Technologies Finance, LLC

 

195,000

 

6.000%, 6/15/2025g

    175,987  
 

Dell International, LLC/EMC Corporation

 

54,000

 

4.000%, 7/15/2024g

    56,482  
 

Diamond 1 Finance Corporation

 

112,000

 

5.450%, 6/15/2023g

    121,959  
 

Diamond Sports Group, LLC

 

230,000

 

6.625%, 8/15/2027g,l

    238,292  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

241


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

Technology (1.3%) - continued

 
 

Equinix, Inc.

 

$205,000

 

5.750%, 1/1/2025

    $213,467  
 

Fidelity National Information Services, Inc.

 

20,000

 

3.625%, 10/15/2020

    20,266  

75,000

 

2.250%, 8/15/2021

    75,101  
 

Fiserv, Inc.

 

73,000

 

2.750%, 7/1/2024

    74,248  
 

Global Payments, Inc.

 

17,000

 

2.650%, 2/15/2025

    17,072  
 

Harland Clarke Holdings Corporation

 

120,000

 

8.375%, 8/15/2022g

    98,400  
 

Hewlett Packard Enterprise Company

 

96,000

 

3.600%, 10/15/2020

    97,235  

35,000

 

2.250%, 4/1/2023

    34,898  
 

Inception Merger Sub, Inc.

 

175,000

 

8.625%, 11/15/2024g

    160,983  
 

Intel Corporation

 

60,000

 

1.700%, 5/19/2021

    59,927  

35,000

 

3.100%, 7/29/2022

    36,225  
 

Marvell Technology Group, Ltd.

 

42,000

 

4.200%, 6/22/2023

    44,025  
 

Microsoft Corporation

 

76,000

 

2.400%, 2/6/2022

    77,063  
 

NCR Corporation

 

150,000

 

6.125%, 9/1/2029g

    158,108  
 

NXP BV/NXP Funding, LLC

 

51,000

 

4.875%, 3/1/2024g

    55,307  
 

Oracle Corporation

 

30,000

 

2.500%, 5/15/2022

    30,379  
 

Panasonic Corporation

 

52,000

 

2.536%, 7/19/2022g

    52,317  
 

Plantronics, Inc.

 

200,000

 

5.500%, 5/31/2023g

    200,500  
 

Seagate HDD Cayman

 

18,000

 

4.250%, 3/1/2022

    18,543  
 

SS&C Technologies, Inc.

 

160,000

 

5.500%, 9/30/2027g

    167,204  
 

Texas Instruments, Inc.

 

30,000

 

1.750%, 5/1/2020

    29,968  
 

 

 
 

Total

    2,645,093  
 

 

 

Transportation (0.5%)

 
 

Air Canada Pass Through Trust

 

10,515

 

3.875%, 3/15/2023g

    10,655  
 

Boeing Company

 

70,000

 

3.100%, 5/1/2026

    73,446  
 

CSX Corporation

 

34,000

 

3.700%, 11/1/2023

    35,958  
 

Delta Air Lines, Inc.

 

57,000

 

2.875%, 3/13/2020

    57,122  
 

Hertz Corporation

 

120,000

 

5.500%, 10/15/2024g

    120,180  
 

J.B. Hunt Transport Services, Inc.

 

35,000

 

3.300%, 8/15/2022

    35,798  
 

Penske Truck Leasing Company, LP

 

36,000

 

3.375%, 2/1/2022g

    36,743  
 

Ryder System, Inc.

 

78,000

 

3.500%, 6/1/2021

    79,688  
 

Union Pacific Corporation

 

63,000

 

3.750%, 7/15/2025

    67,860  
 

United Airlines Pass Through Trust

 

35,000

 

3.700%, 12/1/2022

    35,966  
 

United Continental Holdings, Inc.

 

230,000

 

4.875%, 1/15/2025

    241,983  
Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

Transportation (0.5%) - continued

 
 

XPO Logistics, Inc.

 

$80,000

 

6.125%, 9/1/2023g

    $82,600  

150,000

 

6.750%, 8/15/2024g

    162,375  
 

 

 
 

Total

    1,040,374  
 

 

 

U.S. Government & Agencies (0.1%)

 
 

U.S. Treasury Notes

 

250,000

 

1.750%, 6/30/2024

    252,158  
 

 

 
 

Total

    252,158  
 

 

 

Utilities (1.1%)

 
 

Alabama Power Company

 

38,000

 

2.450%, 3/30/2022

    38,452  
 

Ameren Corporation

 

35,000

 

2.700%, 11/15/2020

    35,182  

40,000

 

2.500%, 9/15/2024

    40,203  
 

Berkshire Hathaway Energy Company

 

83,000

 

2.400%, 2/1/2020

    83,061  
 

Calpine Corporation

 

100,000

 

6.000%, 1/15/2022g

    100,335  

105,000

 

5.375%, 1/15/2023

    106,313  
 

CenterPoint Energy, Inc.

 

40,000

 

2.500%, 9/1/2022

    40,277  

34,000

 

2.500%, 9/1/2024

    33,956  
 

Consolidated Edison, Inc.

 

38,000

 

2.000%, 3/15/2020

    37,979  
 

Dominion Energy, Inc.

 

34,000

 

2.715%, 8/15/2021

    34,222  

34,000

 

3.071%, 8/15/2024

    34,794  
 

DTE Energy Company

 

54,000

 

3.300%, 6/15/2022

    55,339  

53,000

 

2.529%, 10/1/2024

    53,164  
 

Duke Energy Corporation

 

80,000

 

2.400%, 8/15/2022

    80,809  

63,000

 

4.875%, 9/16/2024b,i

    64,449  
 

Edison International

 

108,000

 

2.950%, 3/15/2023

    108,232  
 

Evergy, Inc.

 

35,000

 

2.450%, 9/15/2024

    34,939  
 

Eversource Energy

 

43,000

 

2.500%, 3/15/2021

    43,135  
 

Exelon Generation Company, LLC

 

20,000

 

5.200%, 10/1/2019

    20,000  

55,000

 

2.950%, 1/15/2020

    55,075  
 

FirstEnergy Corporation

 

59,000

 

2.850%, 7/15/2022

    59,898  
 

Fortis, Inc.

 

55,000

 

2.100%, 10/4/2021

    54,817  
 

Georgia Power Company

 

35,000

 

2.200%, 9/15/2024

    34,594  
 

NextEra Energy Operating Partners, LP

 

220,000

 

3.875%, 10/15/2026g

    220,000  
 

NiSource, Inc.

 

59,000

 

3.650%, 6/15/2023

    61,598  

95,000

 

5.650%, 6/15/2023b,i

    95,475  
 

Oncor Electric Delivery Company, LLC

 

51,000

 

2.750%, 6/1/2024g

    52,372  
 

Pinnacle West Capital Corporation

 

40,000

 

2.250%, 11/30/2020

    39,973  
 

PPL Capital Funding, Inc.

 

69,000

 

3.950%, 3/15/2024

    72,840  
 

PSEG Power, LLC

 

75,000

 

3.000%, 6/15/2021

    75,762  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

242


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Principal
Amount
  Long-Term Fixed Income (51.6%)   Value

Utilities (1.1%) - continued

 
 

Public Service Enterprise Group, Inc.

 

$34,000

 

2.875%, 6/15/2024

    $34,891  
 

Sempra Energy

 

15,000

 

2.400%, 3/15/2020

    15,007  
 

Southern Company

 

37,000

 

2.350%, 7/1/2021

    37,111  
 

TerraForm Power Operating, LLC

 

225,000

 

5.000%, 1/31/2028g

    234,000  
 

TransCanada Trust

 

165,000

 

5.875%, 8/15/2076b

    174,547  
 

 

 
 

Total

    2,362,801  
 

 

 
 

    

 

 

 

Total Long-Term Fixed Income

(cost $107,368,421)

    108,219,597  
 

 

 
Shares  

Registered Investment Companies

(17.0%)

  Value

Unaffiliated (2.4%)

 

6,450

 

AllianzGI NFJ Dividend Interest & Premium Strategy Fund

    78,819  

8,511

 

BlackRock Resources & Commodities Strategy Trust

    63,662  

20,000

 

Invesco Senior Loan ETF

    451,800  

13,800

 

Invesco Variable Rate Preferred ETF

    350,796  

3,915

 

iShares iBoxx $ High Yield Corporate Bond ETF

    341,271  

6,525

 

iShares S&P U.S. Preferred Stock Index Fund

    244,883  

21,822

 

MFS Intermediate Income Trust

    83,360  

5,600

 

SPDR Bloomberg Barclays High Yield Bond ETFl

    608,944  

16,600

 

Templeton Global Income Fund

    101,924  

30,925

 

Vanguard Short-Term Corporate Bond ETF

    2,506,471  

38,140

 

Western Asset High Income Opportunity Fund, Inc.

    192,607  
 

 

 
 

Total

    5,024,537  
 

 

 

Affiliated (14.6%)

 

3,120,167

 

Thrivent Core Emerging Markets Debt Fund

    30,608,839  
 

 

 
 

Total

    30,608,839  
 

 

 
 

    

 

 

 

Total Registered Investment Companies

(cost $35,330,510)

    35,633,376  
 

 

 
Shares   Preferred Stock (0.9%)   Value

Consumer Staples (0.1%)

 

5,280

 

CHS, Inc., 7.100%b,i

    140,501  
 

 

 
 

Total

    140,501  
 

 

 

Energy (0.1%)

 

17,735

 

Crestwood Equity Partners, LP,
9.250%i

    163,783  

825

 

Energy Transfer Operating, LP,
7.600%b,i

    20,905  

3,736

 

Nustar Logistics, LP, 9.037%b

    96,725  
 

 

 
 

Total

    281,413  
 

 

 

Financials (0.7%)

 

1,870

 

Agribank FCB, 6.875%b,i

    200,090  

2,400

 

Allstate Corporation, 5.100%i

    63,024  

2,200

 

Bank of America Corporation,
5.000%i

    56,452  
Shares   Preferred Stock (0.9%)   Value

Financials (0.7%) - continued

 

2,500

 

Capital One Financial Corporation, 5.000%i,m

    $62,425  

1,445

 

Cobank ACB, 6.250%b,i

    151,725  

220

 

First Tennessee Bank NA, 3.750%b,g,i

    160,600  

5,000

 

GMAC Capital Trust I, 7.943%b

    131,050  

1,950

 

Hartford Financial Services Group, Inc., 7.875%b

    56,862  

3,700

 

Morgan Stanley, 7.125%b,i

    106,190  

2,000

 

Regions Financial Corporation, 5.700%b,i

    56,580  

425

 

Synovus Financial Corporation, 5.875%b,i

    11,339  

213

 

Wells Fargo & Company, Convertible, 7.500%i

    324,290  
 

 

 
 

Total

    1,380,627  
 

 

 

Real Estate (<0.1%)

 

1,500

 

Colony Capital, Inc., 8.750%i

    37,935  
 

 

 
 

Total

    37,935  
 

 

 
 

    

 

 

 

Total Preferred Stock

(cost $1,750,307)

    1,840,476  
 

 

 
Shares   Collateral Held for Securities Loaned
(0.5%)
  Value

1,072,410

 

Thrivent Cash Management Trust

    1,072,410  
 

 

 
 

Total Collateral Held for Securities
Loaned

(cost $1,072,410)

    1,072,410  
 

 

 
Shares   Common Stock (0.1%)   Value

Energy (0.1%)

 

5,383

 

Contura Energy, Inc.m

    150,509  

8,182

 

Pacific Drilling SAm

    31,991  
 

 

 
 

Total

    182,500  
 

 

 

Materials (<0.1%)

 

3,878

 

Verso Corporationm

    48,010  
 

 

 
 

Total

    48,010  
 

 

 
 

    

 

 

 

Total Common Stock

(cost $341,135)

    230,510  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (19.7%)   Value
 

Federal Home Loan Bank Discount Notes

 

400,000

 

1.980%, 11/5/2019n,o

    399,269  
 

Thrivent Core Short-Term Reserve Fund

 

4,097,905

 

2.230%

    40,979,053  
 

 

 
 

Total Short-Term Investments

(cost $41,378,283)

    41,378,322  
 

 

 
 

Total Investments

(cost $246,973,382) 117.5%

    $246,628,869  
 

 

 
 

Other Assets and Liabilities, Net (17.5%)

    (36,780,734
 

 

 
 

Total Net Assets 100.0%

    $209,848,135  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

243


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

a

The stated interest rate represents the weighted average of all contracts within the bank loan facility.

b

Denotes variable rate securities. The rate shown is as of September 30, 2019. The rates of certain variable rate securities are based on a published reference rate and spread; these may vary by security and the reference rate and spread are indicated in their description. The rates of other variable rate securities are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.

c

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

d

All or a portion of the loan is unfunded.

e

Denotes investments purchased on a when-issued or delayed delivery basis.

f

In bankruptcy. Interest is not being accrued.

g

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $36,918,674 or 17.6% of total net assets.

h

Denotes step coupon securities. Step coupon securities pay an initial coupon rate for the first period and then different coupon rates for following periods. The rate shown is as of September 30, 2019.

i

Denotes perpetual securities. Perpetual securities pay an indefinite stream of interest and have no contractual maturity date. Date shown, if applicable, is next call date.

j

Denotes interest only security. Interest only securities represent the right to receive monthly interest payments on an underlying pool of mortgages or assets. The principal shown is the outstanding par amount of the pool as of the end of the period. The actual effective yield of the security is different than the stated coupon rate.

k

All or a portion of the security is insured or guaranteed.

l

All or a portion of the security is on loan.

m

Non-income producing security.

n

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

o

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Opportunity Income Plus Portfolio as of September 30, 2019:

Securities Lending Transactions

Long-Term Fixed Income

     $470,079  

Common Stock

     576,322  

Total lending

     $1,046,401  
Gross amount payable upon return of collateral for securities loaned      $1,072,410  

Net amounts due to counterparty

     $26,009  

Definitions:

CLO   -    Collateralized Loan Obligation
ETF   -    Exchange Traded Fund
REMIC   -    Real Estate Mortgage Investment Conduit
REIT   -    Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
Ser.   -    Series
SPDR   -    S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.

 

Reference Rate Index:
12 MTA   -    12 Month Treasury Average
CMT 1Y   -    Constant Maturity Treasury Yield 1 Year
H15T30Y   -    U. S. Treasury Yield Curve Rate Treasury Note Constant Maturity 30 Year
LIBOR 1W   -    ICE Libor USD Rate 1 Week
LIBOR 1M   -    ICE Libor USD Rate 1 Month
LIBOR 2M   -    ICE Libor USD Rate 2 Month
LIBOR 3M   -    ICE Libor USD Rate 3 Month
PRIME   -    Federal Reserve Prime Loan Rate

 

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

244


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Opportunity Income Plus Portfolio’s assets carried at fair value.

 

Investments in Securities    Total              Level 1    Level 2    Level 3      

Bank Loans

                 

Basic Materials

   2,695,924          2,366,056    329,868   

Capital Goods

   4,433,504          4,062,247    371,257   

Communications Services

   14,813,038          13,978,813    834,225   

Consumer Cyclical

   8,100,514          7,273,376    827,138   

Consumer Non-Cyclical

   10,974,152          10,974,152      

Energy

   4,272,614          3,966,884    305,730   

Financials

   8,424,014          7,948,825    475,189   

Technology

   3,595,170          3,595,170      

Utilities

   945,248          678,976    266,272   

Long-Term Fixed Income

                 

Asset-Backed Securities

   10,684,775          10,684,775      

Basic Materials

   1,604,076          1,604,076      

Capital Goods

   3,800,207          3,800,207      

Collateralized Mortgage Obligations

   18,628,985          18,628,985      

Communications Services

   4,998,558          4,998,558      

Consumer Cyclical

   5,743,349          5,743,349      

Consumer Non-Cyclical

   5,569,547          5,569,547      

Energy

   5,193,657          5,193,657      

Financials

   12,137,506          12,137,506      

Mortgage-Backed Securities

   33,558,511          33,558,511      

Technology

   2,645,093          2,645,093      

Transportation

   1,040,374          1,040,374      

U.S. Government & Agencies

   252,158          252,158      

Utilities

   2,362,801          2,362,801      

Registered Investment Companies

                 

Unaffiliated

   5,024,537       5,024,537         

Preferred Stock

                 

Consumer Staples

   140,501       140,501         

Energy

   281,413       281,413         

Financials

   1,380,627       868,212    512,415      

Real Estate

   37,935       37,935         

Common Stock

                 

Energy

   182,500       182,500         

Materials

   48,010       48,010         

Short-Term Investments

   399,269          399,269      

Subtotal Investments in Securities

   $173,968,567                         $6,583,108                    $163,975,780                    $3,409,679     
Other Investments *    Total               

Affiliated Registered Investment Companies

   30,608,839   

Affiliated Short-Term Investments

   40,979,053   

Collateral Held for Securities Loaned

   1,072,410   

Subtotal Other Investments

   $72,660,302     
           

Total Investments at Value

   $246,628,869     

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments            Total                            Level 1                            Level 2                            Level 3                  

Asset Derivatives

              

Futures Contracts

   38,969      38,969           

Total Asset Derivatives

   $38,969      $38,969    $–    $–     

Liability Derivatives

              

Futures Contracts

   85,377      85,377           

Total Liability Derivatives

   $85,377      $85,377    $–    $–     

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.
245


OPPORTUNITY INCOME PLUS PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents Opportunity Income Plus Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $399,269 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
   

Expiration

Date

     Notional Principal
Amount
   

Value and

Unrealized

 

CBOT 10-Yr. U.S. Treasury Note

     24       December 2019        $3,159,827       ($32,327

CBOT 2-Yr. U.S. Treasury Note

     45       December 2019        9,719,787       (22,287

CBOT 5-Yr. U.S. Treasury Note

     22       December 2019        2,638,167       (16,901

CME Ultra Long Term U.S. Treasury Bond

     10       December 2019        1,932,924       (13,862

Total Futures Long Contracts

                      $17,450,705       ($85,377

CME E-mini S&P 500 Index

     (20)       December 2019        ($3,007,857     $29,357  

Ultra 10-Yr. U.S. Treasury Note

       (4)       December 2019        (579,237     9,612  

Total Futures Short Contracts

                      ($3,587,094     $38,969  

Total Futures Contracts

                      $13,863,611       ($46,408

 

Reference Description:
CBOT   -   Chicago Board of Trade
CME   -   Chicago Mercantile Exchange
S&P   -   Standard & Poor’s

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Opportunity Income Plus Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
   

Gross    

Sales    

    Value
9/30/2019
    Shares Held at
9/30/2019
    % of Net Assets
9/30/2019
 

Affiliated Registered Investment Companies

             

Core Emerging Markets Debt

     $25,061        $3,633       $–       $30,609       3,120       14.6%  

Total Affiliated Registered Investment Companies

     25,061                        30,609               14.6  

Affiliated Short-Term Investments

             

Core Short-Term Reserve, 2.230%

     21,502        97,171       77,694       40,979       4,098       19.5  

Total Affiliated Short-Term Investments

     21,502                        40,979               19.5  

Collateral held for Securities Loaned

             

Cash Management Trust- Collateral Investment

     949        5,391       5,268       1,072       1,072       0.5  

Total Collateral Held for Securities Loaned

     949                        1,072               0.5  

Total Value

     $47,512                        $72,660                  

 

Portfolio    Net Realized    
Gain/(Loss)    
    

Change in    

Unrealized    

Appreciation/    

(Depreciation)    

    

Distributions of
Realized Capital

Gains

    

Income Earned    

1/1/2019    

- 9/30/2019    

 

Affiliated Registered Investment Companies

           

Core Emerging Markets Debt

     $–        $1,915               $939      

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

                          545      

Total Income from Affiliated Investments

                                $1,484      

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          2      

Total Affiliated Income from Securities Loaned, Net

                                $2      

Total Value

     $–        $1,915        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.
246


PARTNER EMERGING MARKETS EQUITY PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (93.7%)   Value    

 

Brazil (11.8%)

   
258,100  

Ambev SA

    $1,192,678    
364,718  

Banco Bradesco SA ADR

    2,968,805    
88,100  

BRF SAa

    811,251    
104,259  

Lojas Renner SA

    1,263,920    
123,768  

Multiplan Empreendimentos Imobiliarios SA

    858,790    
192,570  

Petroleo Brasileiro SA

    1,275,010    
157,312  

Vale SA ADRa

    1,809,088    
 

 

  Total     10,179,542    
 

 

Cayman Islands (13.5%)

   
16,640  

Autohome, Inc. ADRa

    1,383,283    
170,000  

Budweiser Brewing Company APAC, Ltd.a,b

    611,659    
462,000  

China Resources Land, Ltd.

    1,935,146    
31,122  

Huazhu Group, Ltd. ADR

    1,027,648    
52,800  

Sunny Optical Technology (Group) Company, Ltd.

    775,044    
122,000  

Tencent Holdings, Ltd.

    5,103,007    
77,000  

Wuxi Biologics (Cayman), Inc.a,b

    785,162    
 

 

  Total     11,620,949    
 

 

Chile (1.0%)

   
29,770  

Banco Santander Chile SA ADR

    833,560    
 

 

  Total     833,560    
 

 

China (13.1%)

   
18,494  

58.com, Inc. ADRa

    911,939    
128,100  

China International Travel Service Corporation, Ltd.

    1,670,322    
114,317  

Hangzhou Hikvision Digital Technology Company, Ltd.

    518,377    
9,795  

Kweichow Moutai Company, Ltd.

    1,579,140    
121,400  

Midea Group Company, Ltd.

    870,362    
305,000  

Ping An Insurance Company of China, Ltd.

    3,505,583    
223,600  

Sands China, Ltd.

    1,010,376    
109,882  

Shanghai International Airport Company, Ltd.

    1,231,437    
 

 

  Total     11,297,536    
 

 

Hong Kong (6.3%)

   
247,400  

AIA Group, Ltd.

    2,333,241    
146,000  

China Mobile, Ltd.

    1,209,428    
224,000  

Hang Lung Group, Ltd.

    558,175    
92,000  

Hang Lung Properties, Ltd.

    208,793    
37,630  

Hong Kong Exchanges & Clearing, Ltd.

    1,102,937    
 

 

  Total     5,412,574    
 

 

India (15.1%)

   
73,505  

Grasim Industries, Ltd.

    757,919    
8,408  

Hero Motocorp, Ltd.

    321,204    
41,683  

Hindustan Unilever, Ltd.

    1,166,334    
126,506  

Housing Development Finance Corporation

    3,531,070    
445,580  

ITC, Ltd.

    1,634,826    
88,290  

Kotak Mahindra Bank, Ltd.

    2,050,624    
69,331  

SBI Life Insurance Company, Ltd.b

    828,493    
57,903  

Tata Consultancy Services, Ltd.

    1,715,223    
16,447  

Ultra Tech Cement, Ltd.

    1,008,351    
 

 

  Total     13,014,044    
 

 

Indonesia (5.6%)

   
3,306,600  

Astra International Tbk PT

    1,537,368    
Shares   Common Stock (93.7%)   Value            

 

Indonesia (5.6%) - continued

   
2,596,500  

Bank Rakyat Indonesia Persero Tbk PT

    $753,932    
609,900  

Indocement Tunggal Prakarsa Tbk PT

    803,753    
795,900  

PT Bank Central Asia Tbk

    1,701,610    
 

 

  Total     4,796,663    
 

 

Luxembourg (1.1%)

   
45,160  

Tenaris SA ADR

    956,489    
 

 

  Total     956,489    
 

 

Mexico (5.0%)

   
18,300  

Fomento Economico Mexicano SAB de CV ADR

    1,675,914    
63,400  

Grupo Aeroportuario del Sureste, SAB de CV

    966,646    
305,413  

Grupo Financiero Banorte SAB de CV ADR

    1,646,079    
 

 

  Total     4,288,639    
 

 

Netherlands (1.5%)

   
2,000  

ASML Holding NV

    496,029    
11,225  

Prosus NVa

    824,009    
 

 

  Total     1,320,038    
 

 

Philippines (2.5%)

   
1,461,900  

Ayala Land, Inc.

    1,395,240    
405,076  

Bank of the Philippine Islands

    726,999    
 

 

  Total     2,122,239    
 

 

Russia (2.9%)

   
7,479  

Lukoil ADR

    617,783    
45,420  

NovaTek PJSC

    918,535    
284,498  

Sberbank of Russia PJSC

    996,651    
 

 

  Total     2,532,969    
 

 

South Africa (3.0%)

   
5,578  

Massmart Holdings, Ltd.

    16,143    
130,300  

MTN Group, Ltd.

    829,068    
11,225  

Naspers, Ltd.

    1,699,569    
 

 

  Total     2,544,780    
 

 

South Korea (1.6%)

   
5,586  

LG Chem, Ltd.

    1,396,771    
 

 

  Total     1,396,771    
 

 

Taiwan (6.4%)

   
616,499  

Taiwan Semiconductor Manufacturing Company, Ltd.

    5,475,457    
 

 

  Total     5,475,457    
 

 

Thailand (1.4%)

   
87,900  

Siam Cement pcl

    1,166,827    
 

 

  Total     1,166,827    
 

 

Turkey (1.1%)

   
107,734  

BIM Birlesik Magazalar AS

    937,116    
 

 

  Total     937,116    
 

 

United States (0.8%)

   
14,672  

Yum China Holding, Inc.

    666,549    
 

 

  Total     666,549    
 

 

     
 

 

 

Total Common Stock

(cost $67,673,243)

    80,562,742    
 

 

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

247


PARTNER EMERGING MARKETS EQUITY PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Preferred Stock (5.8%)       Value    

 

South Korea (5.8%) 

   
150,889  

Samsung Electronics Company, Ltd.

    $4,980,708    
 

 

  Total     4,980,708    
 

 

     
 

 

 

Total Preferred Stock

(cost $2,568,970)

    4,980,708    
 

 

Shares   Short-Term Investments (0.9%)        

 

 

Thrivent Core Short-Term Reserve Fund

   
79,903  

        2.230%

    799,033    
 

 

 

Total Short-Term Investments (cost

$799,033)

    799,033    
 

 

 

Total Investments (cost

$71,041,246) 100.4%

    $86,342,483    
 

 

 

Other Assets and Liabilities,

Net (0.4%)

    (339,849  
 

 

  Total Net Assets 100.0%     $86,002,634    
 

 

a

Non-income producing security.

b

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $2,225,314 or 2.6% of total net assets.

 

 

Definitions:    

        ADR

  -  

American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.

 

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Partner Emerging Markets Equity Portfolio’s assets carried at fair value.

 

Investments in Securities            Total            Level 1      Level 2   Level 3              

Common Stock

                   

Communications Services

   11,136,294         2,295,222      8,841,072     –      

Consumer Discretionary

  

8,367,749

       

1,694,197

    

6,673,552

   

–      

Consumer Staples

  

10,400,105

       

1,675,914

    

8,724,191

   

–      

Energy

  

3,767,817

       

956,489

    

2,811,328

   

–      

Financials

  

23,803,593

       

3,802,365

    

20,001,228

   

–      

Health Care

  

785,162

       

    

785,162

   

–      

Industrials

  

4,133,229

       

    

4,133,229

   

–      

Information Technology

  

7,686,709

       

    

7,686,709

   

–      

Materials

  

7,461,086

       

1,809,088

    

5,651,998

   

–      

Real Estate

  

3,020,998

       

    

3,020,998

   

–      

Preferred Stock

                   

Information Technology

  

4,980,708

       

    

4,980,708

   

–      

Subtotal Investments in Securities

   $85,543,450           $12,233,275      $73,310,175       $–      

Other Investments *

   Total                      

Affiliated Short-Term Investments

   799,033   

Subtotal Other Investments

   $799,033     
           

Total Investments at Value

   $86,342,483     

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

248


PARTNER EMERGING MARKETS EQUITY PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Partner Emerging Markets Equity

Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019 
     Shares Held at
9/30/2019
  % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                

Core Short-Term Reserve, 2.230%

     $1,507        $10,746        $11,454        $799        80       0.9%  

Total Affiliated Short-Term Investments

     1,507                          799                0.9  

Collateral held for Securities Loaned

                

Cash Management Trust- Collateral Investment

            8,462        8,462                      

Total Collateral Held for Securities Loaned

                                              

Total Value

     $1,507                          $799                   

 

Portfolio   

Net Realized    

Gain/(Loss)    

      

Change in    

Unrealized    

Appreciation/    

(Depreciation)    

      

Distributions of

Realized Capital

Gains

    

Income Earned
1/1/2019

- 9/30/2019

    

Affiliated Short-Term Investments

                   

Core Short-Term Reserve, 2.230%

       $–          $–                 $27    

Total Income from Affiliated Investments

                                            $27      

Collateral Held for Securities Loaned

                   

Cash Management Trust- Collateral Investment

                                0    

Total Affiliated Income from Securities Loaned, Net

                                            $0      

Total Value

             $–          $–          $–               

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

249


PARTNER GROWTH STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (99.2%)   Value        

 

Communications Services (16.4%)

   
6,225  

Alphabet, Inc., Class Aa

    $7,601,597    
6,105  

Alphabet, Inc., Class Ca

    7,441,995    
74,315  

Facebook, Inc.a

    13,234,015    
8,306  

IAC/InterActiveCorpa

    1,810,459    
219  

Match Group, Inc.

    15,646    
118,300  

Tencent Holdings, Ltd.

    4,948,243    
87,264  

Tencent Music Entertainment Group ADRa

    1,114,361    
29,151  

Walt Disney Company

    3,798,958    
 

 

  Total     39,965,274    
 

 

Consumer Discretionary (23.2%)

   
44,428  

Alibaba Group Holding, Ltd. ADRa

    7,429,694    
11,645  

Amazon.com, Inc.a

    20,214,672    
35,207  

Aptiv plc

    3,077,796    
1,242  

Booking Holdings, Inc.a

    2,437,562    
6,584  

Dollar General Corporation

    1,046,461    
20,614  

Dollar Tree, Inc.a

    2,353,294    
66,520  

Dollarama, Inc.

    2,381,435    
14,604  

Ferrari NV

    2,250,330    
30,794  

Las Vegas Sands Corporation

    1,778,661    
6,406  

McDonald’s Corporation

    1,375,432    
1,265  

Mercadolibre, Inc.a

    697,306    
45,800  

MGM Resorts International

    1,269,576    
11,888  

Netflix, Inc.a

    3,181,466    
31,101  

NIKE, Inc.

    2,921,006    
323  

NVR, Inc.a

    1,200,704    
11,312  

Restaurant Brands International, Inc.

    804,736    
549  

Ulta Beauty, Inc.a

    137,607    
19,219  

Wynn Resorts, Ltd.

    2,089,490    
 

 

  Total     56,647,228    
 

 

Consumer Staples (0.7%)

   
22,061  

Philip Morris International, Inc.

    1,675,092    
 

 

  Total     1,675,092    
 

 

Energy (0.6%)

   
8,500  

Concho Resources, Inc.

    577,150    
7,346  

Pioneer Natural Resources Company

    923,906    
 

 

  Total     1,501,056    
 

 

Financials (2.9%)

   
46,995  

Charles Schwab Corporation

    1,965,801    
8,794  

Chubb, Ltd.

    1,419,703    
16,807  

Intercontinental Exchange, Inc.

    1,550,782    
694  

S&P Global, Inc.

    170,016    
43,602  

TD Ameritrade Holding Corporation

    2,036,214    
 

 

  Total     7,142,516    
 

 

Health Care (12.2%)

   
22,676  

Alcon, Inc.a

    1,322,689    
7,634  

Alexion Pharmaceuticals, Inc.a

    747,674    
8,593  

Anthem, Inc.

    2,063,179    
13,642  

Becton, Dickinson and Company

    3,450,880    
38,616  

Centene Corporationa

    1,670,528    
11,930  

Cigna Holding Company

    1,810,855    
14,838  

HCA Healthcare, Inc.

    1,786,792    
7,096  

Intuitive Surgical, Inc.a

    3,831,343    
20,710  

Stryker Corporation

    4,479,573    
16,653  

UnitedHealth Group, Inc.

    3,619,030    
21,581  

Vertex Pharmaceuticals, Inc.a

    3,656,253    
5,028  

Wellcare Health Plans, Inc.a

    1,303,107    
 

 

  Total     29,741,903    
 

 

Industrials (11.3%)

   
27,677  

Boeing Company

    10,530,268    
Shares   Common Stock (99.2%)   Value        

 

Industrials (11.3%) - continued

   
6,447  

Equifax, Inc.

    $906,900    
30,023  

Fortive Corporation

    2,058,377    
5,702  

Honeywell International, Inc.

    964,778    
13,498  

JB Hunt Transport Services, Inc.

    1,493,554    
6,807  

Linde Public Limited Company

    1,318,652    
6,422  

Northrop Grumman Corporation

    2,406,901    
9,036  

Roper Industries, Inc.

    3,222,238    
31,220  

TransUnion

    2,532,254    
30,830  

Wabtec Corporation

    2,215,444    
 

 

  Total     27,649,366    
 

 

Information Technology (29.6%)

   
8,528  

Apple, Inc.

    1,910,016    
10,857  

ASML Holding NV GDR

    2,697,096    
1,847  

Atlassian Corporation plca

    231,688    
42,994  

Fidelity National Information Services, Inc.

    5,707,883    
30,040  

Fiserv, Inc.a

    3,111,844    
9,392  

Global Payments, Inc.

    1,493,328    
26,872  

Hexagon AB

    1,294,427    
14,702  

Intuit, Inc.

    3,909,850    
86,673  

Marvell Technology Group, Ltd.

    2,164,225    
31,333  

MasterCard, Inc.

    8,509,103    
105,333  

Microsoft Corporation

    14,644,447    
20,963  

PayPal Holdings, Inc.a

    2,171,557    
24,113  

Salesforce.com, Inc.a

    3,579,334    
6,202  

ServiceNow, Inc.a

    1,574,378    
32,630  

Slack Technologies, Inc.a

    774,310    
19,563  

Splunk, Inc.a

    2,305,695    
36,086  

Symantec Corporation

    852,712    
8,302  

Temenos AG

    1,390,170    
55,410  

Visa, Inc.

    9,531,074    
15,709  

VMware, Inc.

    2,357,292    
12,092  

Workday, Inc.a

    2,055,156    
950  

Zoom Video Communications, Inc.a

    72,390    
 

 

  Total     72,337,975    
 

 

Materials (0.3%)

   
9,543  

DuPont de Nemours, Inc.

    680,511    
 

 

  Total     680,511    
 

 

Real Estate (0.3%)

   
5,377  

Crown Castle International Corporation

    747,457    
 

 

  Total     747,457    
 

 

Utilities (1.7%)

   
8,629  

NextEra Energy, Inc.

    2,010,470    
15,480  

Sempra Energy

    2,285,003    
 

 

  Total     4,295,473    
 

 

     
 

 

 

Total Common Stock

(cost $150,151,655)

    242,383,851    
 

 

Shares   Preferred Stock (0.2%)   Value    

 

Consumer Discretionary (0.2%)

   
2,943  

Airbnb, Inc., Series D, Convertiblea,b

    333,001    
 

 

  Total     333,001    
 

 

     
 

 

 

Total Preferred Stock

(cost $119,819)

    333,001    
 

 

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

250


PARTNER GROWTH STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Short-Term Investments (0.6%)   Value    

 

 

Thrivent Core Short-Term Reserve Fund

   
148,284  

2.230%

    $1,482,835    
 

 

 

Total Short-Term Investments (cost

$1,482,835)

    1,482,835    
 

 

 

Total Investments (cost

$151,754,309) 100.0%

    $244,199,687    
 

 

  Other Assets and Liabilities, Net <0.1%     106,347    
 

 

  Total Net Assets 100.0%     $244,306,034    
 

 

 

a

Non-income producing security.

b

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

 

Definitions:      
ADR       -    American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
GDR       -    Global Depository Receipts, which are certificates for shares of an underlying foreign security’s shares held by an issuing depository bank from more than one country.
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

251


PARTNER GROWTH STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Partner Growth Stock Portfolio’s assets carried at fair value.

 

Investments in Securities      Total                         Level 1                Level 2                Level 3                     

Common Stock

                       

Communications Services

       39,965,274            35,017,031          4,948,243             

Consumer Discretionary

       56,647,228            54,265,793          2,381,435             

Consumer Staples

       1,675,092            1,675,092                      

Energy

       1,501,056            1,501,056                      

Financials

       7,142,516            7,142,516                      

Health Care

       29,741,903            28,419,214          1,322,689             

Industrials

       27,649,366            27,649,366                      

Information Technology

       72,337,975            69,653,378          2,684,597             

Materials

       680,511            680,511                      

Real Estate

       747,457            747,457                      

Utilities

       4,295,473            4,295,473                      

Preferred Stock

                       

Consumer Discretionary

       333,001                              333,001    

Subtotal Investments in Securities

       $242,716,852                  $231,046,887          $11,336,964          $333,001          
Other Investments *      Total                      

Affiliated Short-Term Investments

       1,482,835    

Subtotal Other Investments

       $1,482,835          
                    

Total Investments at Value

       $244,199,687          

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Partner Growth Stock Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
   % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $821        $28,360        $27,698        $1,483        148        0.6%  

Total Affiliated Short-Term Investments

     821                          1,483                 0.6  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     3,645        10,169        13,814                       

Total Collateral Held for Securities Loaned

     3,645                                           

Total Value

     $4,466                          $1,483                    

 

Portfolio      Net Realized  
Gain/(Loss)  
      

Change in    

Unrealized    

Appreciation/    

(Depreciation)    

      

Distributions of
Realized Capital

Gains

       Income Earned
1/1/2019
- 9/30/2019
            

Affiliated Short-Term Investments

                               

Core Short-Term Reserve, 2.230%

                  $–                     $–                   $60          

Total Income from Affiliated Investments

                                                              $60          

Collateral Held for Securities Loaned

                               

Cash Management Trust- Collateral Investment

                                                        1          

Total Affiliated Income from Securities Loaned, Net

                                                              $1          

Total Value

                  $–                     $–          $–                     

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

252


PARTNER HEALTHCARE PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares    Common Stock (96.8%)   Value     

Biotechnology (13.6%)

   
2,587   

10X Genomics, Inc.a

    $130,385    
5,700   

ACADIA Pharmaceuticals, Inc.a

    205,143    
25,180   

Acceleron Pharma, Inc.a

    994,862    
4,640   

Alexion Pharmaceuticals, Inc.a

    454,442    
15,676   

Allakos, Inc.a

    1,232,604    
4,003   

Allogene Therapeutics, Inc.a

    109,102    
32,528   

Amgen, Inc.

    6,294,493    
16,192   

Arena Pharmaceuticals, Inc.a

    741,108    
10,496   

Atreca, Inc.a

    128,471    
7,190   

Biogen, Inc.a

    1,673,976    
30,489   

BioMarin Pharmaceutical, Inc.a

    2,054,959    
5,200   

Blueprint Medicines Corporationa

    382,044    
21,474   

Checkpoint Therapeutics, Inc.a

    53,470    
4,639   

Eidos Therapeutics, Inc.a

    166,865    
2,752   

EXACT Sciences Corporationa

    248,698    
3,300   

Galapagos NV ADRa

    503,778    
5,900   

Genfit ADRa

    102,719    
7,000   

Genmab ASa

    1,422,285    
21,311   

Genmab AS ADRa

    431,761    
40,810   

Gilead Sciences, Inc.

    2,586,538    
2,830   

Guardant Health, Inc.a

    180,639    
14,990   

Halozyme Therapeutics, Inc.a

    232,495    
14,139   

Incyte Corporationa

    1,049,538    
5,450   

Mirati Therapeutics, Inc.a

    424,609    
19,700   

Neurocrine Biosciences, Inc.a

    1,775,167    
2,364   

Principia Biopharma, Inc.a

    66,759    
26,954   

Ra Pharmaceuticals, Inc.a

    637,462    
2,240   

Sarepta Therapeutics, Inc.a

    168,717    
13,800   

Seattle Genetics, Inc.a

    1,178,520    
9,130   

Syndax Pharmaceuticals, Inc.a

    68,201    
2,780   

Theravance Biopharma, Inc.a

    54,154    
3,887   

Urovant Sciences, Ltd.a

    36,810    
22,120   

Vertex Pharmaceuticals, Inc.a

    3,747,570    
  

 

   Total     29,538,344    
  

 

Health Care Equipment (37.6%)

   
167,790   

Abbott Laboratories

    14,038,989    
74,214   

Avantor, Inc.a

    1,090,946    
61,710   

Baxter International, Inc.

    5,397,774    
20,370   

Becton, Dickinson and Company

    5,152,795    
220,520   

Boston Scientific Corporationa

    8,972,959    
16,000   

Cerner Corporation

    1,090,720    
608,600   

ConvaTec Group plcb

    1,310,741    
29,241   

Edwards Lifesciences Corporationa

    6,430,388    
19,832   

Envista Holdings Corporationa

    552,916    
9,820   

Intuitive Surgical, Inc.a

    5,302,113    
23,200   

Masimo Corporationa

    3,451,928    
75,620   

Medtronic plc

    8,213,844    
7,700   

Nevro Corporationa

    661,969    
18,750   

ResMed, Inc.

    2,533,312    
2,413   

SI-BONE, Inc.a

    42,638    
5,102   

Silk Road Medical, Inc.a

    165,968    
38,520   

Stryker Corporation

    8,331,876    
11,180   

Teleflex, Inc.

    3,798,405    
21,900   

Varian Medical Systems, Inc.a

    2,608,071    
41,300   

Wright Medical Group NVa

    852,019    
12,600   

Zimmer Biomet Holdings, Inc.

    1,729,602    
  

 

   Total     81,729,973    
  

 

Health Care Facilities (1.7%)

   
19,600   

Encompass Health Corporation

    1,240,288    
21,340   

HCA Healthcare, Inc.

    2,569,763    
  

 

   Total     3,810,051    
  

 

Health Care Services (3.8%)        
9,330   

Amedisys, Inc.a

    1,222,323    
Shares    Common Stock (96.8%)   Value       

Health Care Services (3.8%) - continued

   
26,019   

Cigna Holding Company

    $3,949,424    
9,400   

LHC Group, Inc.a

    1,067,464    
6,640   

Quest Diagnostics, Inc.

    710,679    
20,400   

Teladoc Health, Inc.a

    1,381,488    
  

 

   Total     8,331,378    
  

 

Life Sciences Tools & Services (7.7%)

   
15,020   

Agilent Technologies, Inc.

    1,150,983    
5,900   

Charles River Laboratories International, Inc.a

    780,983    
7,600   

Illumina, Inc.a

    2,312,072    
14,100   

IQVIA Holding, Inc.a

    2,106,258    
29,400   

Qiagen NVa

    969,318    
28,750   

Thermo Fisher Scientific, Inc.

    8,374,012    
93,640   

WuXi AppTec Company, Ltd.b

    1,022,819    
  

 

   Total     16,716,445    
  

 

Managed Health Care (12.5%)

   
21,900   

Anthem, Inc.

    5,258,190    
40,300   

Centene Corporationa

    1,743,378    
16,720   

Humana, Inc.

    4,274,803    
72,929   

UnitedHealth Group, Inc.

    15,848,930    
  

 

   Total     27,125,301    
  

 

Pharmaceuticals (19.9%)

   
13,371   

Apellis Pharmaceuticals, Inc.a

    322,107    
43,600   

AstraZeneca plc

    3,892,985    
23,150   

AstraZeneca plc ADR

    1,031,795    
90,790   

Bristol-Myers Squibb Company

    4,603,961    
19,700   

Corbus Pharmaceuticals Holdings, Inc.a

    95,939    
7,000   

Daiichi Sankyo Company, Ltd.

    442,326    
37,030   

Eli Lilly and Company

    4,141,065    
115,400   

GlaxoSmithKline plc

    2,473,541    
446,000   

Hansoh Pharmaceutical Group Company, Ltd.a,b

    1,369,951    
183,500   

Hua Medicinea,b

    164,356    
86,161   

Merck & Company, Inc.

    7,253,033    
10,290   

Merck KGaA

    1,159,170    
4,076   

MyoKardia, Inc.a

    212,563    
22,220   

Novo Nordisk AS ADR

    1,148,774    
95,415   

Pfizer, Inc.

    3,428,261    
3,150   

Reata Pharmaceuticals, Inc.a

    252,913    
3,900   

Roche Holding AG

    1,135,542    
19,580   

Sanofi

    1,813,757    
25,050   

Sanofi ADR

    1,160,567    
7,188   

Tricida, Inc.a

    221,894    
72,000   

Wuxi Biologics (Cayman), Inc.a,b

    734,177    
49,170   

Zoetis, Inc.

    6,126,090    
  

 

   Total     43,184,767    
  

 

      
  

 

  

Total Common Stock

(cost $175,234,485)

    210,436,259    
  

 

Shares    Short-Term Investments (4.1%)   Value    

 

  

Thrivent Core Short-Term Reserve Fund

   
899,462   

        2.230%

    8,994,621    
  

 

   Total Short-Term Investments (cost $8,994,620)     8,994,621    
  

 

   Total Investments (cost
$184,229,105) 100.9%
    $219,430,880    
  

 

   Other Assets and Liabilities, Net (0.9%)     (1,931,924  
  

 

   Total Net Assets 100.0%     $217,498,956    
  

 

 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

253


PARTNER HEALTHCARE PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

a

Non-income producing security.

b

Denotes securities sold under Rule 144A of the Securities Act of 1933, which exempts them from registration. These securities may be resold to other dealers in the program or to other qualified institutional buyers. As of September 30, 2019, the value of these investments was $4,602,044 or 2.1% of total net assets.

Definitions:      
ADR    -    American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
 

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Partner Healthcare Portfolio’s assets carried at fair value.

 

Investments in Securities    Total                       Level 1              Level 2            Level 3             

Common Stock

                   

Biotechnology

     29,538,344            28,116,059          1,422,285           

Health Care Equipment

     81,729,973            80,419,232          1,310,741           

Health Care Facilities

     3,810,051            3,810,051                    

Health Care Services

     8,331,378            8,331,378                    

Life Sciences Tools & Services

     16,716,445            15,693,626          1,022,819           

Managed Health Care

     27,125,301            27,125,301                    

Pharmaceuticals

     43,184,767            29,998,962          13,185,805           

Subtotal Investments in Securities

     $210,436,259              $193,494,609          $16,941,650        $–      
Other Investments *        Total              

Affiliated Short-Term Investments

     8,994,621    

Subtotal Other Investments

     $8,994,621      
              

Total Investments at Value

     $219,430,880      

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments      Total               Level 1                Level 2              Level 3                  

Asset Derivatives

                     

Foreign Currency Forward Contracts

       218,766                218,766        –        

Total Asset Derivatives

       $218,766       $–          $218,766        $–        

Liability Derivatives

                     

Foreign Currency Forward Contracts

       83,019                83,019        –        

Total Liability Derivatives

       $83,019       $–          $83,019        $–        

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

254


PARTNER HEALTHCARE PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

The following table presents Partner Healthcare Portfolio’s foreign currency forward contracts held as of September 30, 2019.

 

Foreign Currency Forward Contracts  
Counterparty                       Currency to Receive  

        Contracts to

        Receive

 

        Currency to        

        Deliver        

      In Exchange for       Settlement Date       Unrealized      
Appreciation/      
(Depreciation)      

J.P. Morgan

  British Pound   31,000   USD     $38,129       10/10/2019       ($210)        

Statestreet Bank

  British Pound   1,779,839   USD     2,189,162       10/10/2019       (35,605)        

RBC Capital Markets

  Danish Krone   3,364,461   USD     491,644       10/10/2019       (19,979)        

J.P. Morgan

  Japanese Yen   41,316,095   USD     382,418       10/10/2019       (7,490)        

J.P. Morgan

  Swiss Franc   398,303   USD     399,498       10/10/2019       (8,183)        

Deutsche Bank

  Swiss Franc   175,994   USD     176,522       10/10/2019       (3,653)        

Total

                                ($75,120)        
Counterparty   Currency to Deliver           Contracts to
        Deliver
          Currency to        
         Receive        
      In Exchange for       Settlement Date       Unrealized      
Appreciation/      
(Depreciation)      

RBC Capital Markets

  British Pound   3,121,660   USD     $3,839,571       10/10/2019       $68,036        

Statestreet Bank

  British Pound   365,344   USD     449,365       10/10/2019       (7,770)       

RBC Capital Markets

  Danish Krone   10,644,110   USD     1,555,410       10/10/2019       55,914        

BNP Paribas

  Danish Krone   1,521,174   USD     222,287       10/10/2019       7,730        

Statestreet Bank

  Danish Krone   1,105,870   USD     161,599       10/10/2019       2,399        

Deutsche Bank

  Euro   1,955,067   USD     2,132,578       10/10/2019       74,843        

J.P. Morgan

  Japanese Yen   64,947,642   USD     601,149       10/10/2019       2,752        

J.P. Morgan

  Swiss Franc   574,297   USD     576,020       10/10/2019       6,963        

Total

                                $210,867        

Net Unrealized Appreciation/(Depreciation) on Foreign Currency Forward Contracts

 

    $135,747        

 

Currency:
USD       -        United States Dollar

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Partner Healthcare Portfolio, is as follows:

 

Portfolio   

Value

12/31/2018

    

Gross

Purchases

    

Gross

Sales

    

Value

9/30/2019

     Shares Held at
9/30/2019
  

% of Net Assets

9/30/2019

 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $15,346        $40,261        $46,612        $8,995        899        4.1%  

Total Affiliated Short-Term Investments

     15,346                          8,995                 4.1  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     4,000        15,040        19,040                       

Total Collateral Held for Securities Loaned

     4,000                                           

Total Value

     $19,346                          $8,995                    

 

Portfolio    Net Realized    
Gain/(Loss)    
     Change in    
Unrealized    
Appreciation/    
(Depreciation)    
    

Distributions of
Realized Capital

Gains

    

    Income Earned
    1/1/2019

    - 9/30/2019

         

Affiliated Short-Term Investments

             

Core Short-Term Reserve, 2.230%

     $–        $–             $179          

Total Income from Affiliated Investments

                              $179          

Collateral Held for Securities Loaned

             

Cash Management Trust- Collateral Investment

                        62          

Total Affiliated Income from Securities Loaned, Net

                              $62          

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

255


REAL ESTATE SECURITIES PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (99.4%)   Value

 

 

Diversified REITs (6.1%)

 

12,736  

American Assets Trust, Inc.

    $595,281  
42,667  

Cousins Properties, Inc.

    1,603,852  
86,870  

Duke Realty Corporation

    2,950,974  
44,803  

Liberty Property Trust

    2,299,738  
15,963  

Spirit Realty Capital, Inc.

    763,989  
56,627  

Store Capital Corporation

    2,118,416  
118,920  

VEREIT, Inc.

    1,163,038  
10,500  

Winthrop Realty Trust Liquidation Escrowa,b

    2,310  
6,900  

WP Carey, Inc.

    617,550  
 

 

 
  Total     12,115,148  
 

 

 

Health Care REITs (9.7%)

 
117,122  

HCP, Inc.

    4,173,057  
29,462  

Healthcare Realty Trust, Inc.

    986,977  
58,825  

Healthcare Trust of America, Inc.

    1,728,278  
47,344  

Medical Properties Trust, Inc.

    926,049  
9,500  

Omega Healthcare Investors, Inc.

    397,005  
43,876  

Physicians Realty Trust

    778,799  
51,215  

Ventas, Inc.

    3,740,231  
74,018  

Welltower, Inc.

    6,709,732  
 

 

 
  Total     19,440,128  
 

 

 

Hotel & Resort REITs (4.3%)

 
28,940  

DiamondRock Hospitality Company

    296,635  
4,363  

Hilton Worldwide Holdings, Inc.

    406,239  
151,551  

Host Hotels & Resorts, Inc.

    2,620,317  
40,447  

MGM Growth Properties LLC

    1,215,432  
39,500  

Park Hotels & Resorts, Inc.

    986,315  
19,674  

Pebblebrook Hotel Trust

    547,331  
41,434  

RLJ Lodging Trust

    703,964  
10,087  

Ryman Hospitality Properties

    825,217  
70,431  

Sunstone Hotel Investors, Inc.

    967,722  
 

 

 
  Total     8,569,172  
 

 

 

Industrial REITs (11.0%)

 
75,285  

Americold Realty Trust

    2,790,815  
6,224  

EastGroup Properties, Inc.

    778,124  
40,496  

First Industrial Realty Trust, Inc.

    1,602,022  
139,059  

Prologis, Inc.

    11,850,608  
42,914  

Rexford Industrial Realty, Inc.

    1,889,074  
7,886  

SBA Communications Corporation

    1,901,709  
23,133  

STAG Industrial, Inc.

    681,961  
9,702  

Terreno Realty Corporation

    495,675  
 

 

 
  Total     21,989,988  
 

 

 

Information Technology (0.7%)

 
17,143  

InterXion Holding NVb

    1,396,469  
 

 

 
  Total     1,396,469  
 

 

 

Office REITs (11.3%)

 
41,172  

Alexandria Real Estate Equities, Inc.

    6,342,135  
36,801  

Boston Properties, Inc.

    4,771,618  
17,007  

Corporate Office Properties Trust

    506,468  
38,690  

Douglas Emmett, Inc.

    1,657,093  
25,312  

Highwoods Properties, Inc.

    1,137,521  
68,176  

Hudson Pacific Properties, Inc.

    2,281,169  
21,108  

JBG SMITH Properties

    827,645  
31,114  

Kilroy Realty Corporation

    2,423,469  
15,441  

SL Green Realty Corporation

    1,262,302  
21,354  

Vornado Realty Trust

    1,359,609  
 

 

 
  Total     22,569,029  
 

 

 
Shares   Common Stock (99.4%)   Value

 

 

Real Estate Operating Companies (0.3%)

 

26,037  

Essential Properties Realty Trust, Inc.

    $596,508  
 

 

 
  Total     596,508  
 

 

 

Residential REITs (23.3%)

 
23,753  

American Campus Communities, Inc.

    1,142,044  
104,194  

American Homes 4 Rent

    2,697,583  
33,037  

Apartment Investment & Management Company

    1,722,549  
35,402  

AvalonBay Communities, Inc.

    7,623,113  
29,531  

Camden Property Trust

    3,278,236  
28,465  

Equity Lifestyle Properties, Inc.

    3,802,924  
74,997  

Equity Residential

    6,469,241  
17,185  

Essex Property Trust, Inc.

    5,613,480  
142,267  

Invitation Homes, Inc.

    4,212,526  
20,105  

Mid-America Apartment Communities, Inc.

    2,613,851  
31,427  

Sun Communities, Inc.

    4,665,338  
54,424  

UDR, Inc.

    2,638,476  
 

 

 
  Total     46,479,361  
 

 

 

Retail REITs (11.2%)

 
22,613  

Acadia Realty Trust

    646,279  
15,297  

Agree Realty Corporation

    1,118,976  
53,591  

Brixmor Property Group, Inc.

    1,087,361  
13,195  

Federal Realty Investment Trust

    1,796,367  
38,787  

Kimco Realty Corporation

    809,873  
19,503  

Macerich Company

    616,100  
34,814  

National Retail Properties, Inc.

    1,963,510  
19,477  

Realty Income Corporation

    1,493,496  
48,942  

Regency Centers Corporation

    3,400,980  
47,732  

Simon Property Group, Inc.

    7,429,486  
40,017  

SITE Centers Corporation

    604,657  
13,160  

Taubman Centers, Inc.

    537,323  
27,842  

Weingarten Realty Investors

    811,037  
 

 

 
  Total     22,315,445  
 

 

 

Specialized REITs (21.5%)

 
20,761  

American Tower Corporation

    4,590,880  
6,142  

CoreSite Realty Corporation

    748,403  
22,348  

Crown Castle International Corporation

    3,106,595  
65,572  

CubeSmart

    2,288,463  
28,259  

CyrusOne, Inc.

    2,235,287  
27,235  

Digital Realty Trust, Inc.

    3,535,375  
6,632  

EPR Properties

    509,735  
19,034  

Equinix, Inc.

    10,978,811  
33,470  

Extra Space Storage, Inc.

    3,909,965  
21,759  

Four Corners Property Trust, Inc.

    615,345  
17,709  

Gaming and Leisure Properties, Inc.

    677,192  
13,471  

GDS Holdings, Ltd. ADRb

    539,918  
5,558  

Life Storage, Inc.

    585,869  
9,965  

National Storage Affiliates Trust

    332,532  
17,704  

Public Storage, Inc.

    4,342,260  
15,594  

QTS Realty Trust, Inc.

    801,688  
103,320  

VICI Properties, Inc.

    2,340,198  
24,339  

Weyerhaeuser Company

    674,190  
 

 

 
  Total     42,812,706  
 

 

 
 

 

 
  Total Common Stock
(cost $140,589,989)
    198,283,954  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

256


REAL ESTATE SECURITIES PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Short-Term Investments (0.3%)   Value

 

 
 

Thrivent Core Short-Term Reserve Fund

 

56,074

 

2.230%

    $560,743  
 

 

 
  Total Short-Term Investments
(cost $560,744)
    560,743  
 

 

 
  Total Investments
(cost $141,150,733) 99.7%
    $198,844,697  
 

 

 
  Other Assets and Liabilities, Net 0.3%     606,662  
 

 

 
  Total Net Assets 100.0%     $199,451,359  
 

 

 

 

a

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

b

Non-income producing security.

 

Definitions:    
ADR   -   American Depositary Receipt, which are certificates for an underlying foreign security’s shares held by an issuing U.S. depository bank.
 

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Real Estate Securities Portfolio’s assets carried at fair value.

 

Investments in Securities    Total        Level 1        Level 2        Level 3  

Common Stock

                 

Diversified REITs

     12,115,148          12,112,838                   2,310  

Health Care REITs

     19,440,128          19,440,128                    

Hotel & Resort REITs

     8,569,172          8,569,172                    

Industrial REITs

     21,989,988          21,989,988                    

Information Technology

     1,396,469          1,396,469                    

Office REITs

     22,569,029          22,569,029                    

Real Estate Operating Companies

     596,508          596,508                    

Residential REITs

     46,479,361          46,479,361                    

Retail REITs

     22,315,445          22,315,445                    

Specialized REITs

     42,812,706          42,812,706                    

Subtotal Investments in Securities

     $198,283,954          $198,281,644          $–          $2,310  
Other Investments *    Total                             

Affiliated Short-Term Investments

     560,743  

Subtotal Other Investments

     $560,743  
          

Total Investments at Value

     $198,844,697  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Real Estate Securities Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $775        $18,700        $18,914        $561        56        0.3%  

Total Affiliated Short-Term Investments

     775                          561                 0.3  

Total Value

     $775                          $561                    

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

257


REAL ESTATE SECURITIES PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $16  

Total Income from Affiliated Investments

                                $16  

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

258


SMALL CAP GROWTH PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (92.5%)   Value

 

 

Communications Services (0.3%)

 
13,001  

ORBCOMM, Inc.a

    $61,885  
 

 

 
  Total     61,885  
 

 

 

Consumer Discretionary (14.3%)

 
1,361  

Bright Horizons Family Solutions, Inc.a

    207,552  
702  

Burlington Stores, Inc.a

    140,274  
1,633  

Children’s Place, Inc.

    125,725  
8,690  

Duluth Holdings, Inc.a

    73,691  
2,915  

Five Below, Inc.a

    367,581  
2,442  

G-III Apparel Group, Ltd.a

    62,930  
2,274  

Grand Canyon Education, Inc.a

    223,307  
5,871  

International Game Technology plc

    83,427  
2,431  

Ollie’s Bargain Outlet Holdings, Inc.a

    142,554  
464  

Oxford Industries, Inc.

    33,269  
4,934  

Planet Fitness, Inc.a

    285,531  
12,118  

Playa Hotels and Resorts NVa

    94,884  
11,976  

Red Rock Resorts, Inc.

    243,173  
3,768  

Texas Roadhouse, Inc.

    197,895  
781  

Vail Resorts, Inc.

    177,724  
2,591  

Wingstop, Inc.

    226,142  
 

 

 
  Total     2,685,659  
 

 

 

Consumer Staples (3.7%)

 
1,726  

Calavo Growers, Inc.

    164,281  
1,990  

Casey’s General Stores, Inc.

    320,708  
103  

Grocery Outlet Holding Corporationa

    3,572  
8,849  

Turning Point Brands, Inc.

    204,058  
 

 

 
  Total     692,619  
 

 

 

Energy (1.0%)

 
9,777  

Nine Energy Service, Inc.a

    60,324  
5,969  

Talos Energy, Inc.a

    121,350  
 

 

 
  Total     181,674  
 

 

 

Financials (7.8%)

 
4,430  

Ameris Bancorp

    178,263  
4,140  

Essent Group, Ltd.

    197,354  
4,059  

Hamilton Lane, Inc.

    231,201  
1,211  

Interactive Brokers Group, Inc.

    65,128  
2,127  

PacWest Bancorp

    77,295  
4,120  

Prosight Global, Inc.a

    79,763  
5,945  

Santander Consumer USA Holdings, Inc.

    151,657  
4,945  

Seacoast Banking Corporation of Floridaa

    125,158  
22,523  

SLM Corporation

    198,765  
971  

Stifel Financial Corporation

    55,716  
318  

SVB Financial Groupa

    66,446  
1,034  

Western Alliance Bancorp

    47,647  
 

 

 
  Total     1,474,393  
 

 

 

Health Care (20.1%)

 
3,491  

Aerie Pharmaceuticals, Inc.a

    67,097  
2,351  

Agios Pharmaceuticals, Inc.a

    76,173  
1,243  

Arena Pharmaceuticals, Inc.a

    56,892  
4,286  

Axonics Modulation Technologies, Inc.a

    115,379  
1,003  

Bio-Techne Corporation

    196,257  
5,667  

Catalent, Inc.a

    270,089  
1,530  

Concert Pharmaceuticals, Inc.a

    8,996  
4,509  

GenMark Diagnostics, Inc.a

    27,325  
5,718  

Halozyme Therapeutics, Inc.a

    88,686  
2,641  

Immunomedics, Inc.a

    35,020  
4,966  

Inspire Medical Systems, Inc.a

    303,025  
3,067  

LHC Group, Inc.a

    348,289  
Shares   Common Stock (92.5%)   Value

 

 

Health Care (20.1%) - continued

 
1,060  

Ligand Pharmaceuticals, Inc.a

    $105,512  
8,799  

Natera, Inc.a

    288,607  
1,648  

Neurocrine Biosciences, Inc.a

    148,501  
958  

Nevro Corporationa

    82,359  
1,001  

Novocure, Ltd.a

    74,855  
1,711  

NuVasive, Inc.a

    108,443  
10,512  

Optinose, Inc.a

    73,584  
2,106  

Repligen Corporationa

    161,509  
556  

Sage Therapeutics, Inc.a

    78,001  
5,517  

Tactile Systems Technology, Inc.a

    233,480  
799  

Teleflex, Inc.

    271,460  
2,279  

Veeva Systems, Inc.a

    347,981  
9,903  

Wright Medical Group NVa

    204,299  
 

 

 
  Total     3,771,819  
 

 

 

Industrials (14.5%)

 
4,425  

Aerojet Rocketdyne Holdings, Inc.a

    223,507  
3,406  

ASGN, Inc.a

    214,101  
6,434  

Casella Waste Systems, Inc.a

    276,276  
1,450  

Granite Construction, Inc.

    46,588  
5,110  

Healthcare Services Group, Inc.

    124,122  
1,069  

Heico Corporation

    133,497  
3,508  

Kratos Defense & Security Solutions, Inc.a

    65,231  
2,988  

Mercury Systems, Inc.a

    242,536  
8,283  

MRC Global, Inc.a

    100,473  
10,055  

Ritchie Brothers Auctioneers, Inc.

    401,195  
1,680  

Saia, Inc.a

    157,416  
2,062  

SiteOne Landscape Supply, Inc.a

    152,629  
293  

Valmont Industries, Inc.

    40,563  
1,418  

Watsco, Inc.

    239,897  
8,798  

Willdan Group, Inc.a

    308,634  
 

 

 
  Total     2,726,665  
 

 

 

Information Technology (29.2%)

 
1,388  

Alteryx, Inc.a

    149,113  
648  

Arista Networks, Inc.a

    154,820  
3,115  

Avalara, Inc.a

    209,608  
3,361  

Blackline, Inc.a

    160,689  
2,020  

Cognex Corporation

    99,243  
2,364  

Coupa Software, Inc.a

    306,304  
4,228  

Descartes Systems Group, Inc.a

    170,431  
6,235  

Dolby Laboratories, Inc.

    403,030  
5,372  

Five9, Inc.a

    288,691  
3,518  

Guidewire Software, Inc.a

    370,727  
7,718  

Lattice Semiconductor Corporationa

    141,124  
1,543  

MKS Instruments, Inc.

    142,388  
3,913  

Monolithic Power Systems, Inc.

    608,980  
2,666  

New Relic, Inc.a

    163,826  
3,896  

Nova Measuring Instruments, Ltd.a

    123,776  
2,010  

Novanta, Inc.a

    164,257  
4,004  

Proofpoint, Inc.a

    516,716  
2,968  

Q2 Holdings, Inc.a

    234,086  
2,935  

Rogers Corporationa

    401,244  
10,586  

SailPoint Technologies Holdings, Inc.a

    197,852  
1,254  

Tyler Technologies, Inc.a

    329,175  
4,194  

Virtusa Corporationa

    151,068  
 

 

 
  Total     5,487,148  
 

 

 

Materials (0.9%)

 
6,629  

Louisiana-Pacific Corporation

    162,941  
 

 

 
  Total     162,941  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

259


SMALL CAP GROWTH PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (92.5%)   Value

 

 

Real Estate (0.7%)

 
1,034  

CoreSite Realty Corporation

    $125,993  
 

 

 
  Total     125,993  
 

 

 
   
 

 

 
  Total Common Stock
(cost $16,963,272)
    17,370,796  
 

 

 
Shares   Registered Investment Companies (1.6%)   Value

 

 

Unaffiliated (1.6%)

 
3,920  

SPDR S&P Biotech ETF

    298,900  
 

 

 
  Total     298,900  
 

 

 
   
 

 

 
  Total Registered Investment Companies (cost $341,290)     298,900  
 

 

 
Shares   Short-Term Investments (5.8%)   Value

 

 
 

Thrivent Core Short-Term Reserve Fund

 

109,643

 

2.230%

    1,096,427  
 

 

 
  Total Short-Term Investments
(cost $1,096,428)
    1,096,427  
 

 

 
  Total Investments
(cost $18,400,990) 99.9%
    $18,766,123  
 

 

 
  Other Assets and Liabilities, Net 0.1%     14,554  
 

 

 
  Total Net Assets 100.0%     $18,780,677  
 

 

 

 

a

Non-income producing security.

 

Definitions:    
ETF   -   Exchange Traded Fund
SPDR   -   S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

260


SMALL CAP GROWTH PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Small Cap Growth Portfolio’s assets carried at fair value.

 

Investments in Securities   Total        Level 1        Level 2        Level 3  

Common Stock

                

Communications Services

    61,885          61,885          –            –    

Consumer Discretionary

    2,685,659          2,685,659          –            –    

Consumer Staples

    692,619          692,619          –            –    

Energy

    181,674          181,674          –            –    

Financials

    1,474,393          1,474,393          –            –    

Health Care

    3,771,819          3,771,819          –            –    

Industrials

    2,726,665          2,726,665          –            –    

Information Technology

    5,487,148          5,487,148          –            –    

Materials

    162,941          162,941          –            –    

Real Estate

    125,993          125,993          –            –    

Registered Investment Companies

                

Unaffiliated

    298,900          298,900          –            –    

Subtotal Investments in Securities

    $17,669,696          $17,669,696          $–            $–    
Other Investments *   Total           

Affiliated Short-Term Investments

    1,096,427  

Subtotal Other Investments

    $1,096,427  
         

Total Investments at Value

    $18,766,123  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the

Portfolio. The Portfolio owns shares of Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Small Cap Growth Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $357        $10,052        $9,313        $1,096        110        5.8%  

Total Affiliated Short-Term Investments

     357                          1,096                 5.8  

Total Value

     $357                          $1,096                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–          $–          –          $16  

Total Income from Affiliated Investments

                                $16  

Total Value

     $–          $–          $–             

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

261


SMALL CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (98.5%)   Value

 

 

Communications Services (1.7%)

 
8,740  

ATN International, Inc.

    $510,154  
40,429  

Cincinnati Bell, Inc.a

    204,975  
33,106  

Cogent Communications Holdings

    1,824,141  
57,175  

Consolidated Communications Holdings, Inc.

    272,153  
43,273  

E.W. Scripps Company

    574,666  
84,575  

Frontier Communications Corporationa,b

    73,327  
91,074  

Gannett Company, Inc.

    978,135  
76,837  

Iridium Communications, Inc.a

    1,635,091  
48,056  

New Media Investment Group, Inc.b

    423,373  
36,446  

QuinStreet, Inc.a

    458,855  
24,508  

Scholastic Corporation

    925,422  
14,448  

Spok Holdings, Inc.

    172,509  
180,818  

Vonage Holdings Corporationa

    2,043,243  
 

 

 
  Total     10,096,044  
 

 

 

Consumer Discretionary (13.9%)

 
50,173  

Abercrombie & Fitch Company

    782,699  
89,739  

American Axle & Manufacturing Holdings, Inc.a

    737,655  
12,751  

American Public Education, Inc.a

    284,857  
15,373  

Asbury Automotive Group, Inc.a

    1,573,119  
29,413  

Barnes & Noble Education, Inc.a

    91,769  
30,994  

Big Lots, Inc.

    759,353  
16,257  

BJ’s Restaurants, Inc.

    631,422  
68,993  

Bloomin’ Brands, Inc.

    1,306,038  
22,753  

Boot Barn Holdings, Inc.a

    794,080  
22,834  

Buckle, Inc.b

    470,380  
33,778  

Caleres, Inc.

    790,743  
74,763  

Callaway Golf Company

    1,451,150  
56,039  

Career Education Corporationa

    890,460  
17,363  

Cato Corporation

    305,762  
6,808  

Cavco Industries, Inc.a

    1,307,749  
20,799  

Century Communities, Inc.a

    637,073  
93,566  

Chico’s FAS, Inc.

    377,071  
12,372  

Children’s Place, Inc.b

    952,520  
13,194  

Chuy’s Holdings, Inc.a

    326,683  
15,157  

Conn’s, Inc.a,b

    376,803  
39,868  

Cooper Tire & Rubber Company

    1,041,352  
13,430  

Cooper-Standard Holdings, Inc.a

    549,018  
36,454  

Core-Mark Holding Company, Inc.

    1,170,720  
49,782  

Crocs, Inc.a

    1,381,948  
24,438  

Dave & Buster’s Entertainment, Inc.

    951,860  
43,840  

Designer Brands, Inc.

    750,541  
13,647  

Dine Brands Global, Inc.

    1,035,261  
23,174  

Dorman Products, Inc.a

    1,843,260  
16,391  

El Pollo Loco Holdings, Inc.a

    179,645  
19,435  

Ethan Allen Interiors, Inc.

    371,209  
55,039  

Express, Inc.a

    189,334  
17,029  

Fiesta Restaurant Group, Inc.a

    177,442  
36,656  

Fossil, Inc.a,b

    458,567  
30,510  

Fox Factory Holding Corporationa

    1,898,942  
72,243  

GameStop Corporationb

    398,781  
59,448  

Garrett Motion, Inc.a

    592,102  
11,295  

Genesco, Inc.a

    452,026  
26,207  

Gentherm, Inc.a

    1,076,715  
34,142  

G-III Apparel Group, Ltd.a

    879,839  
13,870  

Group 1 Automotive, Inc.

    1,280,340  
33,886  

Guess ?, Inc.

    627,908  
14,435  

Haverty Furniture Companies, Inc.

    292,597  
14,207  

Hibbett Sports, Inc.a,b

    325,340  
16,934  

Installed Building Products, Inc.a

    970,996  
22,430  

iRobot Corporationa,b

    1,383,258  
237,386  

J.C. Penney Company, Inc.a,b

    211,012  
37,220  

Kontoor Brands, Inc.

    1,306,422  
Shares   Common Stock (98.5%)   Value

 

 

Consumer Discretionary (13.9%) - continued

 
37,052  

La-Z-Boy, Inc.

    $1,244,577  
19,884  

LCI Industries

    1,826,345  
15,858  

LGI Homes, Inc.a,b

    1,321,289  
21,400  

Liquidity Services, Inc.a

    158,360  
17,810  

Lithia Motors, Inc.

    2,357,688  
22,986  

Lumber Liquidators Holdings, Inc.a,b

    226,872  
39,412  

M.D.C. Holdings, Inc.

    1,698,657  
22,104  

M/I Homes, Inc.a

    832,216  
18,262  

Marcus Corporation

    675,877  
17,330  

MarineMax, Inc.a

    268,268  
28,591  

Meritage Homes Corporationa

    2,011,377  
64,155  

Michaels Companies, Inc.a,b

    628,077  
9,499  

Monarch Casino & Resort, Inc.a

    396,013  
26,398  

Monro, Inc.

    2,085,706  
15,106  

Motorcar Parts of America, Inc.a

    255,291  
13,252  

Movado Group, Inc.

    329,445  
434,496  

Office Depot, Inc.

    762,541  
13,523  

Oxford Industries, Inc.

    969,599  
16,089  

PetMed Express, Inc.b

    289,924  
10,413  

Red Robin Gourmet Burgers, Inc.a

    346,336  
19,576  

Regis Corporationa

    395,827  
38,808  

Rent-A-Center, Inc.

    1,000,858  
12,704  

RHa,b

    2,170,224  
22,024  

Ruth’s Hospitality Group, Inc.

    449,620  
24,304  

Shake Shack, Inc.a

    2,382,764  
7,354  

Shoe Carnival, Inc.b

    238,343  
15,144  

Shutterstock, Inc.a

    547,001  
41,526  

Signet Jewelers, Ltd.

    695,976  
23,299  

Sleep Number Corporationa

    962,715  
19,119  

Sonic Automotive, Inc.

    600,528  
13,015  

Stamps.com, Inc.a

    968,967  
15,962  

Standard Motor Products, Inc.

    774,955  
62,032  

Steven Madden, Ltd.

    2,220,125  
17,442  

Strategic Education, Inc.

    2,370,019  
13,198  

Sturm, Ruger & Company, Inc.

    551,149  
40,235  

Tailored Brands, Inc.b

    177,034  
18,236  

TechTarget, Inc.a

    410,766  
29,127  

Tile Shop Holdings, Inc.

    92,915  
27,239  

TopBuild Corporationa

    2,626,657  
38,768  

Tupperware Brands Corporation

    615,248  
11,666  

Unifi, Inc.a

    255,719  
11,088  

Universal Electronics, Inc.a

    564,379  
18,758  

Vera Bradley, Inc.a

    189,456  
46,254  

Vista Outdoor, Inc.a

    286,312  
12,557  

Vitamin Shoppe, Inc.a

    81,872  
26,255  

William Lyon Homesa

    534,552  
23,394  

Wingstop, Inc.

    2,041,828  
25,122  

Winnebago Industries, Inc.

    963,429  
67,738  

Wolverine World Wide, Inc.

    1,914,276  
16,172  

Zumiez, Inc.a

    512,248  
 

 

 
  Total     82,924,041  
 

 

 

Consumer Staples (4.2%)

 
25,902  

Andersons, Inc.

    580,982  
352,252  

Avon Products, Inc.a

    1,549,909  
52,232  

B&G Foods, Inc.

    987,707  
13,002  

Calavo Growers, Inc.b

    1,237,530  
24,064  

Cal-Maine Foods, Inc.

    961,477  
8,292  

Central Garden & Pet Companya

    242,375  
32,951  

Central Garden & Pet Company, Class Aa

    913,567  
20,217  

Chefs’ Warehouse, Inc.a

    815,150  
3,688  

Coca-Cola Consolidated, Inc.

    1,120,673  
130,902  

Darling Ingredients, Inc.a

    2,504,155  
73,449  

Dean Foods Companyb

    85,201  
24,148  

Fresh Del Monte Produce, Inc.

    823,688  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

262


SMALL CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (98.5%)   Value

 

 

Consumer Staples (4.2%) - continued

 
13,994  

Inter Parfums, Inc.

    $979,160  
11,826  

J & J Snack Foods Corporation

    2,270,592  
6,986  

John B. Sanfilippo & Son, Inc.

    674,848  
9,404  

Medifast, Inc.b

    974,537  
10,551  

MGP Ingredients, Inc.

    524,174  
9,262  

National Beverage Corporationb

    410,862  
17,724  

PriceSmart, Inc.

    1,260,176  
5,319  

Seneca Foods Corporationa

    165,847  
28,875  

SpartanNash Company

    341,591  
42,138  

United Natural Foods, Inc.a

    485,430  
19,841  

Universal Corporation

    1,087,485  
10,257  

USANA Health Sciences, Inc.a

    701,476  
91,207  

Vector Group, Ltd.

    1,086,275  
10,908  

WD-40 Company

    2,002,054  
 

 

 
  Total     24,786,921  
 

 

 

Energy (3.7%)

 
101,433  

Archrock, Inc.

    1,011,287  
14,755  

Bonanza Creek Energy, Inc.a

    330,364  
52,461  

C&J Energy Services, Inc.a

    562,907  
181,513  

Callon Petroleum Companya,b

    787,766  
73,538  

Carrizo Oil & Gas, Inc.a

    631,324  
21,665  

CONSOL Energy, Inc.a

    338,624  
369,812  

Denbury Resources, Inc.a,b

    440,076  
51,880  

Diamond Offshore Drilling, Inc.a,b

    288,453  
28,768  

Dril-Quip, Inc.a

    1,443,578  
15,688  

Era Group, Inc.a

    165,665  
23,555  

Exterran Corporationa

    307,628  
10,949  

Geospace Technologies Corporationa

    168,286  
28,728  

Green Plains, Inc.

    304,373  
10,049  

Gulf Island Fabrication, Inc.a

    53,762  
115,914  

Gulfport Energy Corporationa

    314,127  
112,329  

Helix Energy Solutions Group, Inc.a

    905,372  
88,763  

HighPoint Resources Corporationa

    141,133  
47,364  

Jagged Peak Energy, Inc.a

    343,863  
16,692  

KLX Energy Services Holdings, Inc.a

    144,302  
143,399  

Laredo Petroleum Holdings, Inc.a

    345,592  
21,512  

Matrix Service Companya

    368,716  
144,393  

McDermott International, Inc.a,b

    291,674  
268,572  

Nabors Industries, Ltd.

    502,230  
71,559  

Newpark Resources, Inc.a

    545,280  
199,750  

Noble Corporationa

    253,683  
48,077  

Oil States International, Inc.a

    639,424  
29,181  

Par Pacific Holdings, Inc.a

    667,078  
46,791  

PDC Energy, Inc.a

    1,298,450  
10,798  

Penn Virginia Corporationa

    313,898  
65,427  

ProPetro Holding Corporationa

    594,731  
189,035  

QEP Resources, Inc.

    699,429  
165,773  

Range Resources Corporationb

    633,253  
30,955  

Renewable Energy Group, Inc.a,b

    464,480  
4,450  

REX American Resources Corporationa

    339,668  
47,927  

Ring Energy, Inc.a

    78,600  
40,919  

RPC, Inc.b

    229,556  
13,850  

SEACOR Holdings, Inc.a

    651,919  
84,291  

SM Energy Company

    816,780  
193,474  

SRC Energy, Inc.a

    901,589  
100,966  

TETRA Technologies, Inc.a

    202,942  
58,754  

U.S. Silica Holdings, Inc.

    561,688  
44,347  

Unit Corporationa

    149,893  
157,220  

Valaris plcb

    756,228  
40,976  

Warrior Met Coal, Inc.

    799,852  
73,083  

Whiting Petroleum Corporationa,b

    586,856  
 

 

 
  Total     22,376,379  
 

 

 
Shares   Common Stock (98.5%)   Value

 

 

Financials (17.3%)

 
36,417  

Ambac Financial Group, Inc.a

    $711,952  
72,288  

American Equity Investment Life Holding Company

    1,749,370  
51,923  

Ameris Bancorp

    2,089,381  
15,333  

AMERISAFE, Inc.

    1,013,665  
113,450  

Apollo Commercial Real Estate Finance, Inc.

    2,174,836  
47,031  

ARMOUR Residential REIT, Inc.

    787,769  
42,329  

Axos Financial, Inc.a

    1,170,397  
35,643  

Banc of California, Inc.

    503,992  
27,471  

Banner Corporation

    1,543,046  
34,785  

Berkshire Hills Bancorp, Inc.

    1,018,853  
38,714  

Blucora, Inc.a

    837,771  
66,665  

Boston Private Financial Holdings, Inc.

    776,981  
63,432  

Brookline Bancorp, Inc.

    934,353  
102,268  

Cadence Bancorporation

    1,793,781  
75,693  

Capstead Mortgage Corporation

    556,344  
22,890  

Central Pacific Financial Corporation

    650,076  
13,028  

City Holding Company

    993,385  
57,954  

Columbia Banking System, Inc.

    2,138,503  
40,995  

Community Bank System, Inc.

    2,528,982  
22,966  

Customers Bancorp, Inc.a

    476,315  
105,784  

CVB Financial Corporation

    2,207,712  
24,640  

Dime Community Bancshares, Inc.

    527,542  
24,800  

Donnelley Financial Solutions, Inc.a

    305,536  
27,446  

Eagle Bancorp, Inc.

    1,224,640  
15,946  

eHealth, Inc.a

    1,065,033  
25,358  

Employers Holdings, Inc.

    1,105,102  
21,962  

Encore Capital Group, Inc.a,b

    731,884  
26,898  

Enova International, Inc.a

    558,133  
42,146  

EZCORP, Inc.a

    272,052  
172,669  

First BanCorp

    1,723,237  
78,263  

First Commonwealth Financial Corporation

    1,039,333  
78,320  

First Financial Bancorp

    1,916,882  
87,777  

First Midwest Bancorp, Inc.

    1,709,896  
22,440  

Flagstar Bancorp, Inc.

    838,134  
10,575  

Franklin Financial Network, Inc.

    319,471  
68,064  

Glacier Bancorp, Inc.

    2,753,869  
43,584  

Granite Point Mortgage Trust, Inc.

    816,764  
45,241  

Great Western Bancorp, Inc.

    1,492,953  
12,635  

Greenhill & Company, Inc.

    165,771  
24,836  

Hanmi Financial Corporation

    466,420  
5,200  

HCI Group, Inc.

    218,608  
29,305  

Heritage Financial Corporation

    790,063  
19,526  

HomeStreet, Inc.a

    533,450  
100,659  

Hope Bancorp, Inc.

    1,443,450  
32,734  

Horace Mann Educators Corporation

    1,516,566  
27,306  

Independent Bank Corporation

    2,038,393  
12,872  

INTL FCStone, Inc.a

    528,524  
113,464  

Invesco Mortgage Capital. Inc.

    1,737,134  
24,149  

James River Group Holdings, Ltd.

    1,237,395  
38,803  

Legacy Texas Financial Group, Inc.

    1,689,095  
27,690  

Meta Financial Group, Inc.

    902,971  
24,742  

National Bank Holdings Corporation

    845,929  
34,783  

NBT Bancorp, Inc.

    1,272,710  
208,169  

New York Mortgage Trust, Inc.

    1,267,749  
53,995  

NMI Holdings, Inc.a

    1,417,909  
34,439  

Northfield Bancorp, Inc.

    553,090  
79,650  

Northwest Bancshares, Inc.

    1,305,463  
40,798  

OFG Bancorp

    893,476  
136,847  

Old National Bancorp

    2,354,453  
17,350  

Opus Bank

    377,709  
30,712  

Oritani Financial Corporation

    543,449  
47,960  

Pacific Premier Bancorp, Inc.

    1,495,872  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

263


SMALL CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (98.5%)   Value

 

 

Financials (17.3%) - continued

 
69,767  

PennyMac Mortgage Investment Trust

    $1,550,920  
11,285  

Piper Jaffray Companies

    851,792  
36,080  

PRA Group, Inc.a

    1,219,143  
11,063  

Preferred Bank

    579,480  
42,715  

ProAssurance Corporation

    1,720,133  
48,171  

Provident Financial Services, Inc.

    1,181,635  
89,061  

Redwood Trust, Inc.

    1,461,491  
31,671  

RLI Corporation

    2,942,553  
27,454  

S&T Bancorp, Inc.

    1,002,895  
11,664  

Safety Insurance Group, Inc.

    1,181,913  
40,889  

Seacoast Banking Corporation of Floridaa

    1,034,901  
36,582  

ServisFirst Bancshares, Inc.

    1,212,693  
76,655  

Simmons First National Corporation

    1,908,709  
25,206  

Southside Bancshares, Inc.

    859,777  
18,840  

Stewart Information Services Corporation

    730,804  
63,510  

Third Point Reinsurance, Ltd.a

    634,465  
9,837  

Tompkins Financial Corporation

    798,076  
19,156  

Triumph Bancorp, Inc.a

    610,885  
77,703  

TrustCo Bank Corporation

    633,279  
62,832  

United Community Banks, Inc.

    1,781,287  
17,144  

United Fire Group, Inc.

    805,425  
16,488  

United Insurance Holdings Corporation

    230,667  
24,971  

Universal Insurance Holdings, Inc.

    748,880  
38,683  

Veritex Holdings, Inc.

    938,643  
5,187  

Virtus Investment Partners, Inc.

    573,527  
58,062  

Waddell & Reed Financial, Inc.b

    997,505  
22,616  

Walker & Dunlop, Inc.

    1,264,913  
21,439  

Westamerica Bancorporation

    1,333,077  
94,703  

WisdomTree Investments, Inc.

    494,823  
5,062  

World Acceptance Corporationa

    645,456  
 

 

 
  Total     102,583,321  
 

 

 

Health Care (12.0%)

 
38,201  

Acorda Therapeutics, Inc.a

    109,637  
10,444  

Addus HomeCare Corporationa

    828,000  
75,645  

Akorn, Inc.a

    287,451  
26,997  

AMAG Pharmaceuticals, Inc.a,b

    311,815  
37,075  

AMN Healthcare Services, Inc.a

    2,134,037  
27,392  

Amphastar Pharmaceuticals, Inc.a

    543,183  
29,827  

AngioDynamics, Inc.a

    549,413  
7,387  

ANI Pharmaceuticals, Inc.a

    538,365  
10,951  

Anika Therapeutics, Inc.a

    601,100  
75,659  

Arrowhead Research Corporationa,b

    2,132,071  
51,353  

Assertio Therapeutics, Inc.a

    65,732  
26,992  

Biotelemetry, Inc.a

    1,099,384  
26,766  

Cambrex Corporationa

    1,592,577  
27,968  

Cardiovascular Systems, Inc.a

    1,329,039  
22,389  

Care.com, Inc.a

    233,965  
93,349  

Community Health Systems, Inc.a,b

    336,056  
9,923  

Computer Programs and Systems, Inc.

    224,359  
22,480  

CONMED Corporation

    2,161,452  
81,299  

Corcept Therapeutics, Inc.a

    1,149,161  
7,247  

CorVel Corporationa

    548,598  
29,026  

Cross Country Healthcare, Inc.a

    298,968  
29,793  

CryoLife, Inc.a

    808,880  
11,167  

Cutera, Inc.a

    326,411  
46,359  

Cytokinetics, Inc.a

    527,565  
45,460  

Diplomat Pharmacy, Inc.a

    222,754  
8,036  

Eagle Pharmaceuticals, Inc.a

    454,597  
34,849  

Emergent Biosolutions, Inc.a

    1,821,906  
12,739  

Enanta Pharmaceuticals, Inc.a

    765,359  
Shares   Common Stock (98.5%)   Value

 

 

Health Care (12.0%) - continued

 
160,408  

Endo International plca

    $514,910  
39,784  

Ensign Group, Inc.

    1,886,955  
17,171  

Genomic Health, Inc.a

    1,164,537  
20,513  

HealthStream, Inc.a

    531,082  
5,578  

Heska Corporationa

    395,313  
69,407  

HMS Holdings Corporationa

    2,392,112  
53,112  

Innoviva, Inc.a

    559,800  
14,392  

Inogen, Inc.a

    689,521  
25,939  

Integer Holdings Corporationa

    1,959,951  
26,661  

Invacare Corporation

    199,957  
26,647  

Lannett Company, Inc.a

    298,446  
30,960  

Lantheus Holdings, Inc.a

    776,012  
12,931  

LeMaitre Vascular, Inc.

    441,982  
23,533  

LHC Group, Inc.a

    2,672,407  
33,369  

Luminex Corporation

    689,070  
17,255  

Magellan Health Services, Inc.a

    1,071,536  
58,634  

Medicines Companya,b

    2,931,700  
21,556  

Medpace Holdings, Inc.a

    1,811,566  
34,125  

Meridian Bioscience, Inc.

    323,846  
43,978  

Merit Medical Systems, Inc.a

    1,339,570  
3,183  

Mesa Laboratories, Inc.

    756,822  
78,428  

Momenta Pharmaceuticals, Inc.a

    1,016,427  
58,849  

Myriad Genetics, Inc.a

    1,684,847  
27,128  

Natus Medical, Inc.a

    863,756  
41,671  

Neogen Corporationa

    2,838,212  
82,521  

NeoGenomics, Inc.a

    1,577,802  
38,435  

NextGen Healthcare, Inc.a

    602,276  
33,098  

Omnicell, Inc.a

    2,391,992  
49,525  

OraSure Technologies, Inc.a

    369,952  
15,121  

Orthifix Medical, Inc.a

    801,715  
50,012  

Owens & Minor, Inc.

    290,570  
33,002  

Pacira Pharmaceuticals, Inc.a

    1,256,386  
16,291  

Phibro Animal Health Corporation

    347,487  
67,902  

Progenics Pharmaceuticals, Inc.a

    343,245  
9,175  

Providence Service Corporationa

    545,546  
24,858  

REGENXBIO, Inc.a

    884,945  
86,206  

Select Medical Holdings Corporationa

    1,428,433  
89,670  

Spectrum Pharmaceuticals, Inc.a

    743,813  
41,674  

Supernus Pharmaceuticals, Inc.a

    1,145,202  
10,828  

Surmodics, Inc.a

    495,273  
15,620  

Tabula Rasa HealthCare, Inc.a,b

    858,163  
15,071  

Tactile Systems Technology, Inc.a

    637,805  
34,205  

Tivity Health, Inc.a

    568,829  
10,189  

U.S. Physical Therapy, Inc.

    1,330,174  
42,281  

Vanda Pharmaceuticals, Inc.a

    561,492  
30,615  

Varex Imaging Corporationa

    873,752  
39,139  

Xencor, Inc.a,b

    1,320,158  
 

 

 
  Total     71,187,182  
 

 

 

Industrials (18.1%)

 
20,663  

A. Schulman, Inc. CVRa,c

    14,257  
32,293  

AAON, Inc.

    1,483,540  
26,213  

AAR Corporation

    1,080,238  
52,771  

ABM Industries, Inc.

    1,916,643  
43,460  

Actuant Corporation

    953,512  
24,547  

Aegion Corporationa

    524,815  
57,511  

Aerojet Rocketdyne Holdings, Inc.a

    2,904,881  
17,104  

Aerovironment, Inc.a

    916,090  
7,732  

Alamo Group, Inc.

    910,211  
24,357  

Albany International Corporation

    2,196,027  
10,494  

Allegiant Travel Company

    1,570,532  
12,368  

American Woodmark Corporationa

    1,099,639  
21,071  

Apogee Enterprises, Inc.

    821,558  
30,667  

Applied Industrial Technologies, Inc.

    1,741,886  
20,277  

ArcBest Corporation

    617,435  
38,446  

Arcosa, Inc.

    1,315,238  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

264


SMALL CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (98.5%)   Value

 

 

Industrials (18.1%) - continued

 
18,014  

Astec Industries, Inc.

    $560,235  
20,681  

Atlas Air Worldwide Holdings, Inc.a

    521,782  
20,779  

AZZ, Inc.

    905,133  
37,796  

Barnes Group, Inc.

    1,948,006  
39,299  

Brady Corporation

    2,084,812  
33,817  

Briggs & Stratton Corporation

    204,931  
28,436  

Chart Industries, Inc.a

    1,773,269  
15,948  

CIRCOR International, Inc.a

    598,847  
29,282  

Comfort Systems USA, Inc.

    1,295,143  
24,773  

Cubic Corporation

    1,744,762  
12,841  

DXP Enterprises, Inc.a

    445,840  
21,677  

Echo Global Logistics, Inc.a

    490,984  
16,611  

Encore Wire Corporation

    934,867  
16,362  

EnPro Industries, Inc.

    1,123,251  
20,643  

ESCO Technologies, Inc.

    1,642,357  
41,252  

Exponent, Inc.

    2,883,515  
47,955  

Federal Signal Corporation

    1,570,047  
8,402  

Forrester Research, Inc.

    270,040  
22,496  

Forward Air Corporation

    1,433,445  
30,559  

Franklin Electric Company, Inc.

    1,461,026  
29,828  

FTI Consulting, Inc.a

    3,161,470  
25,604  

Gibraltar Industries, Inc.a

    1,176,248  
33,084  

GMS, Inc.a

    950,172  
25,982  

Greenbrier Companies, Inc.

    782,578  
33,839  

Griffon Corporation

    709,604  
63,786  

Harsco Corporationa

    1,209,383  
37,574  

Hawaiian Holdings, Inc.

    986,693  
37,127  

Heartland Express, Inc.

    798,602  
15,247  

Heidrick & Struggles International, Inc.

    416,243  
49,792  

Hillenbrand, Inc.

    1,537,577  
26,552  

Hub Group, Inc.a

    1,234,668  
14,666  

Insteel Industries, Inc.

    301,093  
46,428  

Interface, Inc.

    670,420  
25,158  

John Bean Technologies Corporation

    2,501,460  
22,147  

Kaman Corporation

    1,316,861  
26,351  

Kelly Services, Inc.

    638,221  
44,476  

Korn Ferry

    1,718,553  
8,570  

Lindsay Corporationb

    795,724  
14,092  

Lydall, Inc.a

    351,032  
31,061  

Marten Transport, Ltd.

    645,448  
34,051  

Matson, Inc.

    1,277,253  
25,019  

Matthews International Corporation

    885,422  
44,071  

Mercury Systems, Inc.a

    3,577,243  
35,512  

Mobile Mini, Inc.

    1,308,972  
25,825  

Moog, Inc.

    2,094,924  
45,024  

Mueller Industries, Inc.

    1,291,288  
13,305  

MYR Group, Inc.a

    416,313  
4,037  

National Presto Industries, Inc.

    359,656  
30,427  

Navigant Consulting, Inc.

    850,435  
17,827  

Patrick Industries, Inc.a

    764,422  
46,650  

PGT Innovations, Inc.a

    805,646  
136,779  

Pitney Bowes, Inc.

    625,080  
7,039  

Powell Industries, Inc.

    275,577  
21,359  

Proto Labs, Inc.a

    2,180,754  
26,349  

Quanex Building Products Corporation

    476,390  
56,578  

R.R. Donnelley & Sons Company

    213,299  
28,546  

Raven Industries, Inc.

    955,149  
23,952  

Resources Connection, Inc.

    406,944  
20,584  

Saia, Inc.a

    1,928,721  
32,302  

Simpson Manufacturing Company, Inc.

    2,240,790  
40,458  

SkyWest, Inc.

    2,322,289  
34,936  

SPX Corporationa

    1,397,789  
33,819  

SPX FLOW, Inc.a

    1,334,498  
Shares   Common Stock (98.5%)   Value

 

 

Industrials (18.1%) - continued

 
9,896  

Standex International Corporation

    $721,814  
24,153  

Team, Inc.a,b

    435,962  
14,553  

Tennant Company

    1,028,897  
40,423  

Titan International, Inc.

    109,142  
39,775  

Triumph Group, Inc.

    910,052  
31,838  

TrueBlue, Inc.a

    671,782  
17,551  

U.S. Ecology, Inc.

    1,122,211  
12,202  

UniFirst Corporation

    2,380,854  
48,905  

Universal Forest Products, Inc.

    1,950,331  
10,217  

Veritiv Corporationa

    184,723  
16,224  

Viad Corporation

    1,089,442  
14,503  

Vicor Corporationa

    428,129  
43,269  

Wabash National Corporation

    627,833  
21,962  

Watts Water Technologies, Inc.

    2,058,498  
 

 

 
  Total     107,569,368  
 

 

 

Information Technology (14.0%)

 
93,297  

3D Systems Corporationa,b

    760,371  
78,890  

8x8, Inc.a

    1,634,601  
38,372  

ADTRAN, Inc.

    435,330  
30,439  

Advanced Energy Industries, Inc.a

    1,747,503  
16,178  

Agilysys, Inc.a

    414,319  
28,894  

Alarm.com Holdings, Inc.a

    1,347,616  
23,848  

Anixter International, Inc.a

    1,648,374  
15,171  

Applied Optoelectronics, Inc.a,b

    170,219  
59,639  

Arlo Technologies, Inc.a

    203,369  
25,689  

Axcelis Technologies, Inc.a

    439,025  
23,133  

Badger Meter, Inc.

    1,242,242  
8,090  

Bel Fuse, Inc.

    121,593  
29,897  

Benchmark Electronics, Inc.

    868,807  
30,239  

Bottomline Technologies (de), Inc.a

    1,189,905  
57,386  

Brooks Automation, Inc.

    2,125,004  
23,071  

Cabot Microelectronics Corporation

    3,257,856  
26,861  

CalAmp Corporationa

    309,439  
29,153  

Cardtronics, Inc.a

    881,587  
17,591  

CEVA, Inc.a

    525,267  
32,688  

Cohu, Inc.

    441,451  
19,200  

Comtech Telecommunications Corporation

    624,000  
26,227  

CSG Systems International, Inc.

    1,355,411  
25,957  

CTS Corporation

    839,969  
29,644  

Daktronics, Inc.

    218,921  
60,979  

Diebold Nixdorf, Inc.a

    682,965  
22,228  

Digi International, Inc.a

    302,745  
32,820  

Diodes, Inc.a

    1,317,723  
18,213  

DSP Group, Inc.a

    256,530  
17,664  

Ebix, Inc.b

    743,654  
10,731  

ePlus, Inc.a

    816,522  
47,436  

EVERTEC, Inc.

    1,480,952  
27,154  

ExlService Holdings, Inc.a

    1,818,232  
95,962  

Extreme Networks, Inc.a

    698,124  
29,286  

Fabrineta

    1,531,658  
13,857  

FARO Technologies, Inc.a

    669,986  
59,818  

FormFactor, Inc.a

    1,115,307  
71,224  

Harmonic, Inc.a

    468,654  
17,858  

Ichor Holdings, Ltd.a

    431,806  
163  

II-VI, Inc.a

    5,739  
28,515  

Insight Enterprises, Inc.a

    1,588,000  
27,904  

Itron, Inc.a

    2,063,780  
46,412  

KEMET Corporation

    843,770  
68,052  

Knowles Corporationa

    1,384,178  
50,381  

Kulicke and Soffa Industries, Inc.

    1,182,946  
48,421  

LivePerson, Inc.a,b

    1,728,630  
21,350  

ManTech International Corporation

    1,524,603  
51,369  

MaxLinear, Inc.a

    1,149,638  
29,471  

Methode Electronics, Inc.

    991,404  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

265


SMALL CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (98.5%)   Value

 

 

Information Technology (14.0%) - continued

 
6,559  

MicroStrategy, Inc.a

    $973,159  
32,990  

Monotype Imaging Holdings, Inc.

    653,532  
14,378  

MTS Systems Corporation

    794,384  
18,741  

Nanometrics, Inc.a

    611,331  
24,721  

NETGEAR, Inc.a

    796,511  
53,203  

NIC, Inc.

    1,098,642  
25,959  

OneSpan, Inc.a

    376,405  
13,498  

OSI Systems, Inc.a

    1,370,857  
15,471  

Park Aerospace Corporation

    271,671  
22,293  

PDF Solutions, Inc.a

    291,369  
26,094  

Perficient, Inc.a

    1,006,707  
53,847  

Photronics, Inc.a

    585,855  
23,265  

Plexus Corporationa

    1,454,295  
23,305  

Power Integrations, Inc.

    2,107,471  
35,574  

Progress Software Corporation

    1,353,946  
26,813  

Qualys, Inc.a

    2,026,258  
88,296  

Rambus, Inc.a

    1,158,885  
14,747  

Rogers Corporationa

    2,016,062  
24,823  

Rudolph Technologies, Inc.a

    654,334  
55,170  

Sanmina Corporationa

    1,771,509  
20,055  

ScanSource, Inc.a

    612,680  
10,453  

SMART Global Holdings, Inc.a

    266,342  
38,116  

Solaredge Technology, Ltd.a

    3,191,072  
27,716  

SPS Commerce, Inc.a

    1,304,592  
30,733  

Sykes Enterprises, Inc.a

    941,659  
100,235  

TiVo Corp

    763,290  
11,449  

TTEC Holdings, Inc.

    548,178  
77,952  

TTM Technologies, Inc.a

    950,625  
31,334  

Ultra Clean Holdings, Inc.a

    458,573  
40,981  

Unisys Corporationa

    304,489  
38,583  

Veeco Instruments, Inc.a

    450,649  
181,837  

Viavi Solutions, Inc.a

    2,546,627  
24,033  

Virtusa Corporationa

    865,669  
39,403  

Xperi Corporation

    814,854  
 

 

 
  Total     82,992,207  
 

 

 

Materials (4.5%)

 
22,101  

AdvanSix, Inc.a

    568,438  
251,385  

AK Steel Holding Corporationa

    570,644  
20,909  

American Vanguard Corporation

    328,271  
25,709  

Balchem Corporation

    2,550,076  
31,089  

Boise Cascade Company

    1,013,190  
39,626  

Century Aluminum Companya

    262,918  
13,221  

Clearwater Paper Corporationa

    279,228  
11,637  

DMC Global, Inc.b

    511,795  
65,505  

Ferro Corporationa

    776,889  
20,728  

FutureFuel Corporation

    247,492  
42,728  

GCP Applied Technologies, Inc.a

    822,514  
40,457  

H.B. Fuller Company

    1,883,678  
7,542  

Hawkins, Inc.

    320,535  
10,053  

Haynes International, Inc.

    360,300  
15,751  

Innophos Holdings, Inc.

    511,277  
19,455  

Innospec, Inc.

    1,734,219  
12,715  

Kaiser Aluminum Corporation

    1,258,404  
16,504  

Koppers Holdings, Inc.a

    482,082  
25,193  

Kraton Performance Polymers, Inc.a

    813,482  
115,989  

Livent Corporationa

    775,966  
16,428  

LSB Industries, Inc.a

    85,097  
16,254  

Materion Corporation

    997,345  
31,809  

Mercer International, Inc.

    398,885  
28,393  

Myers Industries, Inc.

    501,136  
13,397  

Neenah, Inc.

    872,413  
7,339  

Olympic Steel, Inc.

    105,682  
35,350  

PH Glatfelter Company

    544,036  
10,247  

Quaker Chemical Corporation

    1,620,461  
39,577  

Rayonier Advanced Materials, Inc.

    171,368  
Shares   Common Stock (98.5%)   Value

 

 

Materials (4.5%) - continued

 
24,549  

Schweitzer-Mauduit International, Inc.

    $919,115  
15,951  

Stepan Company

    1,548,204  
71,939  

SunCoke Energy, Inc.a

    405,736  
31,541  

TimkenSteel Corporationa

    198,393  
19,611  

Tredegar Corporation

    382,807  
31,942  

Trinseo SA

    1,371,909  
12,702  

US Concrete, Inc.a

    702,167  
 

 

 
  Total     26,896,152  
 

 

 

Real Estate (6.8%)

 
67,102  

Acadia Realty Trust

    1,917,775  
33,345  

Agree Realty Corporation

    2,439,187  
37,962  

American Assets Trust, Inc.

    1,774,344  
41,910  

Armada Hoffler Properties, Inc.

    758,152  
75,925  

CareTrust REIT, Inc.

    1,784,617  
139,319  

CBL & Associates Properties, Inc.

    179,722  
69,180  

Cedar Realty Trust, Inc.

    207,540  
37,393  

Chatham Lodging Trust

    678,683  
14,495  

Community Healthcare Trust, Inc.

    645,752  
159,067  

DiamondRock Hospitality Company

    1,630,437  
56,590  

Easterly Government Properties, Inc.

    1,205,367  
54,362  

Four Corners Property Trust, Inc.

    1,537,357  
85,201  

Franklin Street Properties Corporation

    720,800  
27,243  

Getty Realty Corporation

    873,411  
67,338  

Global Net Lease, Inc.

    1,313,091  
28,954  

Hersha Hospitality Trust

    430,836  
71,686  

Independence Realty Trust, Inc.

    1,025,827  
8,982  

Innovative Industrial Properties, Inc.

    829,667  
46,924  

iSTAR Financial, Inc.

    612,358  
66,728  

Kite Realty Group Trust

    1,077,657  
196,860  

Lexington Realty Trust

    2,017,815  
31,585  

LTC Properties, Inc.

    1,617,784  
18,636  

Marcus and Millichap, Inc.a

    661,392  
47,114  

National Storage Affiliates Trust

    1,572,194  
38,228  

Office Properties Income Trust

    1,171,306  
47,833  

Pennsylvania REIT

    273,605  
14,259  

RE/MAX Holdings, Inc.

    458,569  
91,148  

Realogy Holdings Corporationb

    608,869  
90,827  

Retail Opportunity Investments Corporation

    1,655,776  
63,850  

RPT Realty

    865,167  
9,298  

Saul Centers, Inc.

    506,834  
83,529  

Summit Hotel Properties, Inc.

    968,936  
10,056  

Universal Health Realty Income Trust

    1,033,757  
23,751  

Urstadt Biddle Properties, Inc.

    562,899  
149,448  

Washington Prime Group, Inc.

    618,715  
63,631  

Washington REIT

    1,740,944  
31,948  

Whitestone REIT

    439,604  
89,500  

Xenia Hotels & Resorts, Inc.

    1,890,240  
 

 

 
  Total     40,306,986  
 

 

 

Utilities (2.3%)

 
29,265  

American States Water Company

    2,629,753  
52,568  

Avista Corporation

    2,546,394  
38,250  

California Water Service Group

    2,024,573  
32,473  

El Paso Electric Company

    2,178,289  
24,189  

Northwest Natural Holding Company

    1,725,643  
73,409  

South Jersey Industries, Inc.

    2,415,890  
 

 

 
  Total     13,520,542  
 

 

 
 

 

 
  Total Common Stock
(cost $505,818,201)
    585,239,143  
 

 

 
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

266


SMALL CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Collateral Held for Securities
Loaned (4.7%)
  Value

 

 
27,869,978  

Thrivent Cash Management Trust

    $27,869,978  
 

 

 
  Total Collateral Held for Securities Loaned
(cost $27,869,978)
    27,869,978  
 

 

 
Shares   Registered Investment Companies (1.3%)   Value

 

 
Unaffiliated (1.3%) 99,575  

iShares Core S&P Small-Cap ETF

    7,750,918  
 

 

 
  Total     7,750,918  
 

 

 
 

 

 
  Total Registered Investment Companies (cost $7,607,376)     7,750,918  
 

 

 
Shares or
Principal
Amount
  Short-Term Investments (0.3%)   Value

 

 
 

Federal Home Loan Bank Discount Notes

 
200,000  

1.995%, 10/30/2019d,e

    199,697  
 

Thrivent Core Short-Term Reserve Fund

 

141,915

 

2.230%

    1,419,150  
 

 

 
  Total Short-Term Investments
(cost $1,618,829)
    1,618,847  
 

 

 
  Total Investments
(cost $542,914,384) 104.8%
    $622,478,886  
 

 

 
  Other Assets and Liabilities, Net (4.8%)     (28,676,025)  
 

 

 
  Total Net Assets 100.0%     $593,802,861  
 

 

 

 

a

Non-income producing security.

b

All or a portion of the security is on loan.

c

Security is valued using significant unobservable inputs. Further information on valuation can be found in the Notes to Financial Statements.

d

The interest rate shown reflects the yield, coupon rate or the discount rate at the date of purchase.

e

All or a portion of the security is held on deposit with the counterparty and pledged as the initial margin deposit for open futures contracts.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Small Cap Index Portfolio as of September 30, 2019:

 

Securities Lending Transactions       

Common Stock

     $27,309,502  

Total lending

     $27,309,502  

Gross amount payable upon return of collateral for

securities loaned

     $27,869,978  

Net amounts due to counterparty

     $560,476  

 

Definitions:    
ETF   -   Exchange Traded Fund
REIT   -   Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

267


SMALL CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Small Cap Index Portfolio’s assets carried at fair value.

 

Investments in Securities    Total        Level 1        Level 2        Level 3  

Common Stock

                 

Communications Services

     10,096,044          10,096,044                    

Consumer Discretionary

     82,924,041          82,924,041                    

Consumer Staples

     24,786,921          24,786,921                    

Energy

     22,376,379          22,376,379                    

Financials

     102,583,321          102,583,321                    

Health Care

     71,187,182          71,187,182                    

Industrials

     107,569,368          107,555,111                   14,257  

Information Technology

     82,992,207          82,992,207                    

Materials

     26,896,152          26,896,152                    

Real Estate

     40,306,986          40,306,986                    

Utilities

     13,520,542          13,520,542                    

Registered Investment Companies

                 

Unaffiliated

     7,750,918          7,750,918                    

Short-Term Investments

     199,697                   199,697           

Subtotal Investments in Securities

     $593,189,758          $592,975,804          $199,697          $14,257  
Other Investments *    Total           

Affiliated Short-Term Investments

     1,419,150  

Collateral Held for Securities Loaned

     27,869,978  

Subtotal Other Investments

     $29,289,128  
  

Total Investments at Value

     $622,478,886  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

 

Other Financial Instruments    Total        Level 1        Level 2        Level 3  

Liability Derivatives

                 

Futures Contracts

     34,344          34,344          –            –    

Total Liability Derivatives

     $34,344          $34,344          $–            $–    

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

The following table presents Small Cap Index Portfolio’s futures contracts held as of September 30, 2019. Investments and/or cash totaling $99,849 were pledged as the initial margin deposit for these contracts.

 

Futures Contracts Description    Number of
Contracts
Long/(Short)
     Expiration
Date
     Notional Principal
Amount
     Value and
Unrealized

CME E-mini Russell 2000 Index

       11            December 2019                $873,094            ($34,344 )

Total Futures Long Contracts

                                       $873,094            ($34,344 )

Total Futures Contracts

                                       $873,094          ($34,344 )

 

Reference Description:

CME

   -   

Chicago Mercantile Exchange

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

268


SMALL CAP INDEX PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Small Cap Index Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $504        $63,107        $62,192        $1,419        142        0.3%  

Total Affiliated Short-Term Investments

     504                          1,419                 0.3  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     18,790        102,742        93,662        27,870        27,870        4.7  

Total Collateral Held for Securities Loaned

     18,790                          27,870                 4.7  

Total Value

     $19,294                          $29,289                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $17  

Total Income from Affiliated Investments

                                $17  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          74  

Total Affiliated Income from Securities Loaned, Net

                                $74  

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

269


SMALL CAP STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Common Stock (90.9%)   Value

 

 

Consumer Discretionary (6.5%)

 
104,776  

Children’s Place, Inc.a

    $8,066,704  
211,366  

Crocs, Inc.b

    5,867,520  
107,396  

G-III Apparel Group, Ltd.b

    2,767,595  
133,974  

Movado Group, Inc.

    3,330,593  
75,324  

Oxford Industries, Inc.

    5,400,731  
405,587  

Red Rock Resorts, Inc.

    8,235,444  
140,998  

Zumiez, Inc.b

    4,466,112  
 

 

 
  Total     38,134,699  
 

 

 

Consumer Staples (6.3%)

 
44,503  

Casey’s General Stores, Inc.

    7,172,104  
750,764  

Cott Corporation

    9,362,027  
262,765  

Hain Celestial Group, Inc.b

    5,642,878  
78,740  

John B. Sanfilippo & Son, Inc.

    7,606,284  
931,530  

SunOpta, Inc.b

    1,676,754  
237,046  

Turning Point Brands, Inc.

    5,466,281  
 

 

 
  Total     36,926,328  
 

 

 

Energy (2.7%)

 
1,162,477  

Euronav NV

    10,694,788  
279,908  

Nine Energy Service, Inc.b

    1,727,032  
154,793  

Talos Energy, Inc.b

    3,146,942  
 

 

 
  Total     15,568,762  
 

 

 

Financials (22.8%)

 
44,800  

Argo Group International Holdings, Ltd.

    3,146,752  
275,013  

Assured Guaranty, Ltd.

    12,227,078  
52,086  

BOK Financial Corporation

    4,122,607  
205,019  

Bridgewater Bancshares, Inc.b

    2,447,927  
120,772  

Cohen & Steers, Inc.

    6,634,006  
160,632  

First Interstate BancSystem, Inc.

    6,463,832  
58,850  

Hamilton Lane, Inc.

    3,352,096  
131,784  

Heartland Financial USA, Inc.

    5,896,016  
558,829  

Heritage Commerce Corporation

    6,569,035  
125,051  

Horace Mann Educators Corporation

    5,793,613  
66,218  

Houlihan Lokey, Inc.

    2,986,432  
143,087  

IBERIABANK Corporation

    10,808,792  
54,190  

Kemper Corporation

    4,224,110  
355,733  

PCSB Financial Corporation

    7,111,103  
50,325  

Primerica, Inc.

    6,402,850  
243,824  

Prosight Global, Inc.b

    4,720,433  
278,987  

Santander Consumer USA Holdings, Inc.

    7,116,958  
269,376  

Seacoast Banking Corporation of Floridab

    6,817,906  
817,506  

SLM Corporation

    7,214,490  
117,707  

State Auto Financial Corporation

    3,812,530  
310,555  

Synovus Financial Corporation

    11,105,447  
160,503  

United Community Banks, Inc.

    4,550,260  
 

 

 
  Total     133,524,273  
 

 

 

Health Care (7.4%)

 
85,129  

Catalent, Inc.b

    4,057,248  
217,769  

Halozyme Therapeutics, Inc.b

    3,377,597  
63,670  

LHC Group, Inc.b

    7,230,365  
35,093  

Neurocrine Biosciences, Inc.b

    3,162,230  
270,930  

Optinose, Inc.a,b

    1,896,510  
34,262  

PerkinElmer, Inc.

    2,918,095  
190,085  

Syneos Health, Inc.b

    10,114,423  
493,483  

Wright Medical Group NVb

    10,180,554  
 

 

 
  Total     42,937,022  
 

 

 

Industrials (16.9%)

 
141,819  

AGCO Corporation

    10,735,698  
208,605  

Altra Industrial Motion Corporation

    5,777,315  
Shares   Common Stock (90.9%)   Value

 

 

Industrials (16.9%) - continued

 
204,229  

Arcosa, Inc.

    $6,986,674  
155,518  

ASGN, Inc.b

    9,775,862  
82,115  

Curtiss-Wright Corporation

    10,623,218  
150,935  

Encore Wire Corporation

    8,494,622  
58,572  

Granite Construction, Inc.

    1,881,918  
201,013  

MRC Global, Inc.b

    2,438,288  
518,615  

Primoris Services Corporation

    10,170,040  
133,629  

Raven Industries, Inc.

    4,471,226  
230,224  

Ritchie Brothers Auctioneers, Inc.

    9,185,938  
55,003  

Saia, Inc.b

    5,153,781  
70,619  

Valmont Industries, Inc.

    9,776,494  
33,036  

Waste Connections, Inc.

    3,039,312  
 

 

 
  Total     98,510,386  
 

 

 

Information Technology (15.1%)

 
62,413  

Advanced Energy Industries, Inc.b

    3,583,130  
19,579  

Arista Networks, Inc.b

    4,677,815  
120,236  

Blackline, Inc.b

    5,748,483  
260,667  

Ciena Corporationb

    10,225,966  
88,827  

Computer Services, Inc.

    4,041,629  
201,582  

Dolby Laboratories, Inc.

    13,030,260  
166,171  

Lattice Semiconductor Corporationb

    3,038,437  
26,347  

Monolithic Power Systems, Inc.

    4,100,384  
210,588  

National Instruments Corporation

    8,842,590  
171,626  

Plexus Corporationb

    10,728,341  
61,734  

Rogers Corporationb

    8,439,655  
286,359  

SailPoint Technologies Holdings, Inc.b

    5,352,050  
177,996  

Virtusa Corporationb

    6,411,416  
 

 

 
  Total     88,220,156  
 

 

 

Materials (3.8%)

 
43,061  

Balchem Corporation

    4,271,221  
101,993  

Boise Cascade Company

    3,323,952  
402,420  

Louisiana-Pacific Corporation

    9,891,484  
62,715  

United States Lime & Minerals, Inc.

    4,797,697  
 

 

 
  Total     22,284,354  
 

 

 

Real Estate (6.0%)

 
80,805  

Agree Realty Corporation

    5,910,886  
139,693  

American Campus Communities, Inc.

    6,716,439  
181,465  

Apple Hospitality REIT, Inc.

    3,008,690  
34,534  

CoreSite Realty Corporation

    4,207,968  
216,224  

Cousins Properties, Inc.

    8,127,860  
238,046  

Physicians Realty Trust

    4,225,317  
60,881  

Terreno Realty Corporation

    3,110,410  
 

 

 
  Total     35,307,570  
 

 

 

Utilities (3.4%)

 
82,541  

New Jersey Resources Corporation

    3,732,504  
58,565  

NorthWestern Corporation

    4,395,303  
136,982  

PNM Resources, Inc.

    7,134,023  
54,930  

Spire, Inc.

    4,792,093  
 

 

 
  Total     20,053,923  
 

 

 
 

 

 
  Total Common Stock (cost $481,927,692)     531,467,473  
 

 

 
Shares   Registered Investment Companies (5.6%)   Value

 

 

Unaffiliated (5.6%)

 
61,097  

Consumer Discretionary Select Sector SPDR Fund

    7,374,408  
73,152  

iShares Russell 2000 Value Index Fund

    8,735,080  
110,491  

Materials Select Sector SPDR Fund

    6,430,576  
141,461  

SPDR S&P Metals & Mining ETFa

    3,600,183  
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

270


SMALL CAP STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Shares   Registered Investment Companies
(5.6%)
  Value

 

 

Unaffiliated (5.6%) - continued

 
67,488  

SPDR S&P Retail ETF

    $2,863,516  
321,199  

VanEck Vectors Oil Services ETF

    3,774,088  
 

 

 
  Total     32,777,851  
 

 

 
   
 

 

 
  Total Registered Investment Companies (cost $34,514,609)     32,777,851  
 

 

 
Shares   Collateral Held for Securities Loaned
(1.7%)
  Value

 

 
10,089,745  

Thrivent Cash Management Trust

    10,089,745  
 

 

 
  Total Collateral Held for Securities Loaned
(cost $10,089,745)
    10,089,745  
 

 

 
Shares   Short-Term Investments (3.5%)   Value

 

 
 

Thrivent Core Short-Term Reserve Fund

 
2,035,039  

2.230%

    20,350,393  
 

 

 
 

Total Short-Term Investments

(cost $20,350,393)

    20,350,393  
 

 

 
  Total Investments
(cost $546,882,439) 101.7%
    $594,685,462  
 

 

 
  Other Assets and Liabilities, Net (1.7%)     (10,033,075
 

 

 
  Total Net Assets 100.0%     $584,652,387  
 

 

 

 

a

All or a portion of the security is on loan.

b

Non-income producing security.

The following table presents the total amount of securities loaned with continuous maturity, by type, offset by the gross payable upon return of collateral for securities loaned by Thrivent Small Cap Stock Portfolio as of September 30, 2019:

 

Securities Lending Transactions       

Common Stock

     $9,781,320  

Total lending

     $9,781,320  

Gross amount payable upon return of collateral for securities loaned

     $10,089,745  

Net amounts due to counterparty

     $308,425  

 

Definitions:      
ETF    -    Exchange Traded Fund
REIT    -    Real Estate Investment Trust is a company that buys, develops, manages and/or sells real estate assets.
SPDR    -    S&P Depository Receipts, which are exchange-traded funds traded in the U.S., Europe, and Asia-Pacific and managed by State Street Global Advisors.
 

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

271


SMALL CAP STOCK PORTFOLIO

Schedule of Investments as of September 30, 2019

(unaudited)

 

Fair Valuation Measurements

The following table is a summary of the inputs used, as of September 30, 2019, in valuing Small Cap Stock Portfolio’s assets carried at fair value.

 

Investments in Securities      Total        Level 1        Level 2        Level 3  

Common Stock

                   

Consumer Discretionary

       38,134,699          38,134,699                    

Consumer Staples

       36,926,328          36,926,328                    

Energy

       15,568,762          15,568,762                    

Financials

       133,524,273          133,524,273                    

Health Care

       42,937,022          42,937,022                    

Industrials

       98,510,386          98,510,386                    

Information Technology

       88,220,156          88,220,156                    

Materials

       22,284,354          22,284,354                    

Real Estate

       35,307,570          35,307,570                    

Utilities

       20,053,923          20,053,923                    

Registered Investment Companies
Unaffiliated

       32,777,851          32,777,851                    

Subtotal Investments in Securities

       $564,245,324          $564,245,324          $–          $–  
Other Investments *      Total           

Affiliated Short-Term Investments

       20,350,393  

Collateral Held for Securities Loaned

       10,089,745  

Subtotal Other Investments

       $30,440,138  
            

Total Investments at Value

       $594,685,462  

* Certain investments are measured at fair value using a net asset value per share that is not publicly available (practical expedient). According to disclosure requirements of Accounting Standards Codification (ASC) 820, Fair Value Measurement, securities valued using the practical expedient are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

There were no significant transfers between Levels during the period ended September 30, 2019. Transfers between Levels are identified as of the end of the period.

Investment in Affiliates

Affiliated issuers, as defined under the Investment Company Act of 1940, include those in which the Portfolio’s holdings of an issuer represent 5% or more of the outstanding voting securities of an issuer, any affiliated mutual fund, or a company which is under common ownership or control with the Portfolio. The Portfolio owns shares of Thrivent Cash Management Trust for the purpose of securities lending and Thrivent Core Short-Term Reserve Fund, a series of Thrivent Core Funds, primarily to serve as a cash sweep vehicle for the Portfolio. Thrivent Cash Management Trust and Thrivent Core Funds are established solely for investment by Thrivent entities.

A summary of transactions (in thousands; values shown as zero are less than $500) for the fiscal year to date, in Small Cap Stock Portfolio, is as follows:

 

Portfolio    Value
12/31/2018
     Gross
Purchases
     Gross
Sales
     Value
9/30/2019
     Shares Held at
9/30/2019
     % of Net Assets
9/30/2019
 

Affiliated Short-Term Investments

                 

Core Short-Term Reserve, 2.230%

     $11,616        $123,727        $114,993        $20,350        2,035        3.5%  

Total Affiliated Short-Term Investments

     11,616                          20,350                 3.5  

Collateral held for Securities Loaned

                 

Cash Management Trust- Collateral Investment

     6,636        164,759        161,305        10,090        10,090        1.7  

Total Collateral Held for Securities Loaned

     6,636                          10,090                 1.7  

Total Value

     $18,252                          $30,440                    

 

Portfolio    Net Realized
Gain/(Loss)
     Change in
Unrealized
Appreciation/
(Depreciation)
     Distributions of
Realized Capital
Gains
     Income Earned
1/1/2019
- 9/30/2019
 

Affiliated Short-Term Investments

           

Core Short-Term Reserve, 2.230%

     $–        $–               $285  

Total Income from Affiliated Investments

                                $285  

Collateral Held for Securities Loaned

           

Cash Management Trust- Collateral Investment

                          40  

Total Affiliated Income from Securities Loaned, Net

                                $40  

Total Value

     $–        $–        $–           

 

The accompanying Notes to Schedule of Investments are an integral part of this schedule.

 

 

272


NOTES TO SCHEDULE OF INVESTMENTS

as of September 30, 2019

(unaudited)

 

SIGNIFICANT ACCOUNTING POLICIES

Valuation of Investments — Securities traded on U.S. or foreign securities exchanges or included in a national market system are valued at the last sale price on the principal exchange as of the close of regular trading on such exchange or the official closing price of the national market system. Over-the-counter securities and listed securities for which no price is readily available are valued at the current bid price considered best to represent the value at that time. Security prices are based on quotes that are obtained from an independent pricing service approved by the Fund’s Board of Directors (the “Board”). The pricing service, in determining values of fixed-income securities, takes into consideration such factors as current quotations by broker/dealers, coupon, maturity, quality, type of issue, trading characteristics, and other yield and risk factors it deems relevant in determining valuations. Securities which cannot be valued by the approved pricing service are valued using valuations from dealers that make markets in the securities. Exchange-listed options and futures contracts are valued at the primary exchange settle price. Exchange cleared swap agreements are valued using a vendor provided settlement or clearing price used by the clearinghouse. Swap agreements not cleared on exchanges will be valued using the mid-price from the primary approved pricing service. Forward foreign currency exchange contracts are marked-to-market based upon foreign currency exchange rates provided by the pricing service. Investments in open-ended mutual funds are valued at their net asset value at the close of each business day.

Securities held by the Money Market Portfolio are valued on the basis of amortized cost (which approximates market value), whereby a portfolio security is valued at its cost initially and thereafter valued to reflect a constant amortization to maturity of any discount or premium. The Money Market Portfolio and the Adviser follow procedures designed to help maintain a constant net asset value of $1.00 per share.

The Board has delegated responsibility for daily valuation of the Portfolios’ securities to the Adviser. The Adviser has formed a Valuation Committee (“Committee”) that is responsible for overseeing the Portfolios’ valuation policies in accordance with Valuation Policies and Procedures. The Committee meets on a monthly and on an as-needed basis to review price challenges, price overrides, stale prices, shadow prices, manual prices, money market pricing, international fair valuation, and other securities requiring fair valuation.

The Committee monitors for significant events occurring prior to the close of trading on the New York Stock Exchange that could have a material impact on the value of any securities that are held by the Portfolios. Examples of such events include trading halts, national news/events, and issuer-

specific developments. If the Committee decides that such events warrant using fair value estimates, the Committee will take such events into consideration in determining the fair value of such securities. If market quotations or prices are not readily available or determined to be unreliable, the securities will be valued at fair value as determined in good faith pursuant to procedures adopted by the Board.

In accordance with U.S. Generally Accepted Accounting Principles (“GAAP”), the various inputs used to determine the fair value of the Portfolios’ investments are summarized in three broad levels. Level 1 includes quoted prices in active markets for identical securities, typically included in this level are U.S. equity securities, futures, options and registered investment company funds. Level 2 includes other significant observable inputs such as quoted prices for similar securities, interest rates, prepayment speeds and credit risk, typically included in this level are fixed income securities, international securities, swaps and forward contracts. Level 3 includes significant unobservable inputs such as the Adviser’s own assumptions and broker evaluations in determining the fair value of investments. Of the Level 3 securities, those for which market values were not readily available or were deemed unreliable were fair valued as determined in good faith pursuant to procedures established by the Board. The valuation levels are not necessarily an indication of the risk associated with investing in these securities or other investments. Investments measured using net asset value per share as a practical expedient for fair value and that are not publicly available-for-sale are not categorized within the fair value hierarchy.

Valuation of International Securities — The Portfolios value certain foreign securities traded on foreign exchanges that close prior to the close of the New York Stock Exchange using a fair value pricing service. The fair value pricing service uses a multi-factor model that may take into account the local close, relevant general and sector indices, currency fluctuation, prices of other securities (including ADRs, New York registered shares, and ETFs), and futures, as applicable, to determine price adjustments for each security in order to reflect the effects of post-closing events. The Board has authorized the Adviser to make fair valuation determinations pursuant to policies approved by the Board.

Foreign Currency Translation — The accounting records of each Portfolio are maintained in U.S. dollars. Securities and other assets and liabilities that are denominated in foreign currencies are translated into U.S. dollars at the daily closing rates of exchange.

Foreign currency amounts related to the purchase or sale of securities and income and expenses are translated at the exchange rate on the transaction date. Net realized and unrealized currency gains and losses are recorded from closed currency contracts, disposition of foreign

 

 

 

 

273


NOTES TO SCHEDULE OF INVESTMENTS

as of September 30, 2019

(unaudited)

 

currencies, exchange gains or losses between the trade date and settlement date on securities transactions, and other translation gains or losses on dividends, interest income and foreign withholding taxes. The Portfolios do not separately report the effect of changes in foreign exchange rates from changes in prices on securities held. Such changes are included in net realized and unrealized gain or loss from investments in the Statement of Operations.

For federal income tax purposes, the Portfolios treat the effect of changes in foreign exchange rates arising from actual foreign currency transactions and the changes in foreign exchange rates between the trade date and settlement date as ordinary income.

Foreign Denominated Investments — Foreign denominated assets and currency contracts may involve more risks than domestic transactions including currency risk, political and economic risk, regulatory risk, and market risk. Certain Portfolios may also invest in securities of companies located in emerging markets. Future economic or political developments could adversely affect the liquidity or value, or both, of such securities.

Derivative Financial Instruments — Each of the Portfolios, with the exception of the Money Market Portfolio, may invest in derivatives. Derivatives, a category that includes options, futures, swaps, foreign currency forward contracts and hybrid instruments, are financial instruments whose value is derived from another security, an index or a currency. Each applicable Portfolio may use derivatives for hedging (attempting to offset a potential loss in one position by establishing an interest in an opposite position). This includes the use of currency-based derivatives to manage the risk of its positions in foreign securities. Each applicable Portfolio may also use derivatives for replication of a certain asset class or speculation (investing for potential income or capital gain). These contracts may be transacted on an exchange or over-the-counter (“OTC”).

A derivative may incur a mark to market loss if the value of the derivative decreases due to an unfavorable change in the market rates or values of the underlying derivative. Losses can also occur if the counterparty does not perform under the derivative. A Portfolio’s risk of loss from the counterparty credit risk on OTC derivatives is generally limited to the aggregate unrealized gain netted against any collateral held by such Portfolio. With exchange traded futures and centrally cleared swaps, there is minimal counterparty credit risk to the Portfolios because the exchange’s clearinghouse, as counterparty to such derivatives, guarantees against a possible default. The clearinghouse stands between the buyer and the seller of the derivative; thus, the credit risk is limited to the failure of the clearinghouse. However, credit risk still exists in exchange traded futures and centrally cleared swaps with respect to initial and variation margin that is held in a broker’s customer accounts. While brokers

are required to segregate customer margin from their own assets, in the event that a broker becomes insolvent or goes into bankruptcy and at that time there is a shortfall in the aggregate amount of margin held by the broker for all its clients, U.S. bankruptcy laws will typically allocate that shortfall on a pro-rata basis across all of the broker’s customers, potentially resulting in losses to the Portfolios. Using derivatives to hedge can guard against potential risks, but it also adds to the Portfolios’ expenses and can eliminate some opportunities for gains. In addition, a derivative used for mitigating exposure or replication may not accurately track the value of the underlying asset. Another risk with derivatives is that some types can amplify a gain or loss, potentially earning or losing substantially more money than the actual cost of the derivative.

In order to define their contractual rights and to secure rights that will help the Portfolios mitigate their counterparty risk, the Portfolios may enter into an International Swaps and Derivatives Association, Inc. Master Agreement (“ISDA Master Agreement”) or similar agreement with derivative contract counterparties. An ISDA Master Agreement is a bilateral agreement between a Portfolio and a counterparty that governs OTC derivatives and foreign exchange contracts and typically includes, among other things, collateral posting terms and netting provisions in the event of a default and/ or termination event. Under an ISDA Master Agreement, each Portfolio may, under certain circumstances, offset with the counterparty certain derivatives’ payables and/or receivables with collateral held and/or posted and create one single net payment. The provisions of the ISDA Master Agreement typically permit a single net payment in the event of a default (close-out netting) including the bankruptcy or insolvency of the counterparty. Note, however, that bankruptcy and insolvency laws of a particular jurisdiction may impose restrictions on or prohibitions against the right of offset in bankruptcy, insolvency or other events.

Collateral and margin requirements vary by type of derivative. Margin requirements are established by the broker or clearinghouse for exchange traded and centrally cleared derivatives (futures, options, and centrally cleared swaps). Brokers can ask for margining in excess of the minimum in certain situations. Collateral terms are contract specific for OTC derivatives (foreign currency exchange contracts, options, and swaps). For derivatives traded under an ISDA Master Agreement, the collateral requirements are typically calculated by netting the mark to market amount for each transaction under such agreement and comparing that amount to the value of any collateral currently pledged by the Portfolio and the counterparty. For financial reporting purposes, non-cash collateral that has been pledged to cover obligations of the Portfolio has been noted in the Schedule of Investments. To the extent amounts due to a Portfolio from its counterparties are not fully collateralized, contractually or otherwise, the Portfolio bears the risk of loss from

 

 

 

 

274


NOTES TO SCHEDULE OF INVESTMENTS

as of September 30, 2019

(unaudited)

 

counterparty nonperformance. The Portfolios attempt to mitigate counterparty risk by only entering into agreements with counterparties that they believe have the financial resources to honor their obligations and by monitoring the financial stability of those counterparties.

Options — All Portfolios, with the exception of the Money Market Portfolio, may buy put and call options and write put and covered call options. The Portfolios intend to use such derivative instruments as hedges to facilitate buying or selling securities or to provide protection against adverse movements in security prices or interest rates. The Portfolios may also enter into options contracts to protect against adverse foreign exchange rate fluctuations. Option contracts are valued daily and unrealized appreciation or depreciation is recorded. A Portfolio will realize a gain or loss upon expiration or closing of the option transaction. When an option is exercised, the proceeds upon sale for a written call option or the cost of a security for purchased put and call options is adjusted by the amount of premium received or paid.

Buying put options tends to decrease a Portfolio’s exposure to the underlying security while buying call options tends to increase a Portfolio’s exposure to the underlying security. The risk associated with purchasing put and call options is limited to the premium paid. There is no significant counterparty risk on exchange-traded options as the exchange guarantees the contract against default. Writing put options tends to increase a Portfolio’s exposure to the underlying security while writing call options tends to decrease a Portfolio’s exposure to the underlying security. The writer of an option has no control over whether the underlying security may be bought or sold, and therefore bears the market risk of an unfavorable change in the price of the underlying security. The counterparty risk for purchased options arises when the Portfolio has purchased an option, exercises that option, and the counterparty doesn’t buy from the Portfolio or sell to the Portfolio the underlying asset as required. In the case where the Portfolio has written an option, the Portfolio doesn’t have counterparty risk. Counterparty risk on purchased over-the-counter options is partially mitigated by the Portfolio’s collateral posting requirements. As the option increases in value to the Portfolio, the Portfolio receives collateral from the counterparty. Risks of loss may exceed amounts recognized on the Statement of Assets and Liabilities.

During the period ended September 30, 2019, Aggressive Allocation, Balanced Income Plus, Diversified Income Plus, Government Bond, Income, Limited Maturity Bond, Moderate Allocation, Moderately Aggressive Allocation, Moderately Conservative Allocation, and Opportunity Income Plus used treasury options to manage the duration of the Portfolio versus the benchmark. Options on mortgage backed securities were used to generate income and/or to manage the duration of the Portfolio.

Futures Contracts — All Portfolios, with the exception of the Money Market Portfolio, may use futures contracts to manage the exposure to interest rate and market or currency fluctuations. Gains or losses on futures contracts can offset changes in the yield of securities. When a futures contract is opened, cash or other investments equal to the required “initial margin deposit” are held on deposit with and pledged to the broker. Additional securities held by the Portfolios may be earmarked to cover open futures contracts. A futures contract’s daily change in value (“variation margin”) is either paid to or received from the broker, and is recorded as an unrealized gain or loss. When the contract is closed, realized gain or loss is recorded equal to the difference between the value of the contract when opened and the value of the contract when closed. Futures contracts involve, to varying degrees, risk of loss in excess of the variation margin disclosed in the Statement of Assets and Liabilities. Exchange-traded futures have no significant counterparty risk as the exchange guarantees the contracts against default.

During the period ended September 30, 2019, Aggressive Allocation, Balanced Income Plus, Diversified Income Plus, Government Bond, Income, International Allocation, Limited Maturity Bond, Moderate Allocation, Moderately Aggressive Allocation, Moderately Conservative Allocation, Multidimensional Income, and Opportunity Income Plus used treasury futures to manage the duration and yield curve exposure of the respective Portfolio versus its benchmark.

During the period ended September 30, 2019, Aggressive Allocation, Balanced Income Plus, Diversified Income Plus, Global Stock, International Allocation, Large Cap Index, Low Volatility Equity, Mid Cap Index, Moderate Allocation, Moderately Aggressive Allocation, Moderately Conservative Allocation, Opportunity Income Plus, and Small Cap Index used equity futures to manage exposure to the equities market.

During the period ended September 30, 2019, Aggressive Allocation, Balanced Income Plus, Diversified Income Plus, Global Stock, International Allocation, Moderate Allocation, Moderately Aggressive Allocation, and Moderately Conservative Allocation used foreign exchange futures to hedge currency risk.

Foreign Currency Forward Contracts — In connection with purchases and sales of securities denominated in foreign currencies, all Portfolios, with the exception of the Money Market Portfolio, may enter into foreign currency forward contracts. Additionally, the Portfolios may enter into such contracts to mitigate currency and counterparty exposure to other foreign-currency-denominated investments. These contracts are recorded at value and the realized and change in unrealized foreign exchange gains and losses are included in the Statement of Operations. In the event

 

 

 

 

275


NOTES TO SCHEDULE OF INVESTMENTS

as of September 30, 2019

(unaudited)

 

that counterparties fail to settle these forward contracts, the Portfolios could be exposed to foreign currency fluctuations. Foreign currency contracts are valued daily and unrealized appreciation or depreciation is recorded daily as the difference between the contract exchange rate and the closing forward rate applied to the face amount of the contract. A realized gain or loss is recorded at the time a forward contract is closed. These contracts are over-the-counter and a Portfolio is exposed to counterparty risk equal to the discounted net amount of payments to the Portfolio.

During the period ended September 30, 2019, Partner Healthcare used foreign currency forward contracts in order to hedge unwanted currency exposure.

During the period ended September 30, 2019, International Allocation used foreign currency forward contracts in order to gain active currency exposure and to hedge unwanted currency exposure.

Swap Agreements — All Portfolios, with the exception of the Money Market Portfolio, may enter into swap transactions, which involve swapping one or more investment characteristics of a security or a basket of securities with another party. Such transactions include market risk, risk of default by the other party to the transaction, risk of imperfect correlation and manager risk and may involve commissions or other costs. Swap transactions generally do not involve delivery of securities, other underlying assets or principal. Accordingly, the risk of loss with respect to swap transactions is generally limited to the net amount of payments that the Portfolio is contractually obligated to make, or in the case of the counterparty defaulting, the net amount of payments that the Portfolio is contractually entitled to receive. Risks of loss may exceed amounts recognized on the Statement of Assets and Liabilities. If there is a default by the counterparty, the Portfolio may have contractual remedies pursuant to the agreements related to the transaction. The contracts are valued daily and unrealized appreciation or depreciation is recorded. Swap agreements are valued at the clearinghouse end of day prices as furnished by an independent pricing service. The pricing service takes into account such factors as swap curves, default probabilities, recent trades, recovery rates and other factors it deems relevant in determining valuations. Daily fluctuations in the value of the centrally cleared credit default contracts are recorded in variation margin in the Statement of Assets and Liabilities and recorded as unrealized gain or loss. The Portfolio accrues for the periodic payment and amortizes upfront payments, if any, on swap agreements on a daily basis with the net amount recorded as realized gains or losses in the Statement of Operations. Receipts and payments received or made as a result of a credit event or termination of the contract are also recognized as realized gains or losses in the Statement of Operations. Collateral, in the form of

cash or securities, may be required to be held with the Portfolio’s custodian, or a third party, in connection with these agreements. Certain swap agreements are over-the-counter. In these types of transactions, the Portfolio is exposed to counterparty risk, which is the discounted net amount of payments owed to the Portfolio. This risk is partially mitigated by the Portfolio’s collateral posting requirements. As the swap increases in value to the Portfolio, the Portfolio receives collateral from the counterparty. Certain interest rate and credit default index swaps must be cleared through a clearinghouse or central counterparty.

Credit Default Swaps — A credit default swap is a swap agreement between two parties to exchange the credit risk of a particular issuer, basket of securities or reference entity. In a credit default swap transaction, a buyer pays periodic fees in return for payment by the seller which is contingent upon an adverse credit event occurring in the underlying issuer or reference entity. The seller collects periodic fees from the buyer and profits if the credit of the underlying issuer or reference entity remains stable or improves while the swap is outstanding, but the seller in a credit default swap contract would be required to pay the amount of credit loss, determined as specified in the agreement, to the buyer in the event of an adverse credit event in the reference entity. A buyer of a credit default swap is said to buy protection whereas a seller of a credit default swap is said to sell protection. The Portfolios may be either the protection buyer or the protection seller.

Certain Portfolios enter into credit default derivative contracts directly through credit default swaps (“CDS”) or through credit default swap indices (“CDX Indices”). CDX Indices are static pools of equally weighted credit default swaps referencing corporate bonds and/or loans designed to provide diversified credit exposure to these asset classes. Portfolios sell default protection and assume long-risk positions in individual credits or indices. Index positions are entered into to gain exposure to the corporate bond and/or loan markets in a cost-efficient and diversified structure. In the event that a position defaults, by going into bankruptcy and failing to pay interest or principal on borrowed money, within any given CDX Index held, the maximum potential amount of future payments required would be equal to the pro-rata share of that position within the index based on the notional amount of the index. In the event of a default under a CDS contract, the maximum potential amount of future payments would be the notional amount. For CDS, the default events could be bankruptcy and failing to pay interest or principal on borrowed money or a restructuring. A restructuring is a change in the underlying obligations which would include reduction in interest or principal, maturity extension and subordination to other obligations.

During the period ended September 30, 2019, High Yield, Income, Moderate Allocation, Moderately Aggressive

 

 

 

 

276


NOTES TO SCHEDULE OF INVESTMENTS

as of September 30, 2019

(unaudited)

 

Allocation, and Moderately Conservative Allocation used CDX indices (comprised of credit default swaps) to help manage credit risk exposure within the fund.

Total Return Swaps — A total return swap is a swap agreement between two parties to exchange the total return of a particular reference asset. A total return swap involves commitments to pay interest in exchange for a market linked return based on a notional amount. To the extent that the total return of the security, group of securities, or index underlying the transactions exceeds or falls short of the offsetting interest obligation, the Portfolios will receive a payment from or make a payment to the counterparty. The Portfolios may take a “long” or “short” position with respect to the underlying referenced asset.

During the period ended September 30, 2019, International Allocation used total return swaps to achieve exposure to foreign equity markets where liquidity and/or access is limited.

For financial reporting purposes, the Portfolios do not offset derivative assets and derivative liabilities that are subject to netting arrangements in the Statement of Assets and Liabilities.

Additional information for the Portfolio’s policy regarding valuation of investments and other significant accounting policies can be obtained by referring to the Portfolio’s most recent annual or semiannual shareholder report.

 

 

 

 

277