0001752724-21-116290.txt : 20210527 0001752724-21-116290.hdr.sgml : 20210527 20210527153506 ACCESSION NUMBER: 0001752724-21-116290 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210331 FILED AS OF DATE: 20210527 PERIOD START: 20211231 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: 21972326 BUSINESS ADDRESS: STREET 1: 901 MARQUETTE AVENUE, SUITE 2500 CITY: MINNEAPOLIS STATE: MN ZIP: 55402-3211 BUSINESS PHONE: 612-844-7190 MAIL ADDRESS: STREET 1: 901 MARQUETTE AVENUE, SUITE 2500 CITY: MINNEAPOLIS STATE: MN ZIP: 55402-3211 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 S000001432 Thrivent Balanced Income Plus Portfolio C000003839 Class A NPORT-P 1 primary_doc.xml NPORT-P false 0000790166 XXXXXXXX S000001432 C000003839 Thrivent Series Funds, Inc. 811-04603 0000790166 549300VNHRP1O3O9AF57 901 Marquette Avenue Suite 2500 Minneapolis 55402-3211 612-844-5168 THRIVENT BALANCED INCOME PLUS PORTFOLIO S000001432 G6AL26GWOV90D51UXG57 2021-12-31 2021-03-31 N 522596827.07 55778629.56 466818197.51 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 51195387.31000000 0.00000000 0.00000000 1047505.06 USD N Nuance Communications, Inc. AEMSOT3SS15TNMJCE605 Nuance Communications, Inc., Convertible 67020YAN0 232000.00000000 PA USD 527080.80000000 0.112909223079 Long DBT CORP US N 2 2025-04-01 Fixed 0.01250000 N N N N Y Nuance Communications Inc Nuance Communications Inc USD XXXX N N N RADIATE HOLDCO LLC 5493000GQJ5RDX9DNJ71 Radiate Holdco, LLC, Term Loan N/A 1231912.50000000 PA USD 1230655.95000000 0.263626387438 Long DBT CORP US N 2 2026-09-25 Floating 0.04250000 N N N N N N John B. Sanfilippo & Son, Inc. 5299007IBEYVXKYDUX28 John B. Sanfilippo & Son, Inc. 800422107 1820.00000000 NS USD 164473.40000000 0.035232859575 Long EC CORP US N 1 N N N ASURION LLC 549300KNQVXGIOXWK278 Asurion, LLC, Term Loan N/A 700000.00000000 PA USD 694603.00000000 0.148795184871 Long DBT CORP US N 2 2027-08-03 Floating 0.03358500 N N N N N N Alexandria Real Estate Equities, Inc. MGCJBT4MKTQBVLNUIS88 Alexandria Real Estate Equities, Inc. 015271109 1993.00000000 NS USD 327449.90000000 0.070145058985 Long EC CORP US N 1 N N N United Rentals, Inc. NGIZXNT70J2LYT3FBI09 United Rentals North America, Inc. 911365BG8 100000.00000000 PA USD 105337.00000000 0.022564887264 Long DBT CORP US N 2 2028-01-15 Fixed 0.04875000 N N N N N N Realty Income Corporation 549300CUWDAUZSH43859 Realty Income Corporation 756109104 3076.00000000 NS USD 195326.00000000 0.041841984961 Long EC CORP US N 1 N N N Portland General Electric Company GJOUP9M7C39GLSK9R870 Portland General Electric Company 736508847 3948.00000000 NS USD 187411.56000000 0.040146584044 Long EC CORP US N 1 N N N General Mills, Inc. 2TGYMUGI08PO8X8L6150 General Mills, Inc. 370334CG7 45000.00000000 PA USD 50824.33000000 0.010887392623 Long DBT CORP US N 2 2028-04-17 Fixed 0.04200000 N N N N N N L Brands, Inc. GR3KVMWVCR54YWQNXU90 L Brands, Inc. 501797AW4 110000.00000000 PA USD 125598.00000000 0.026905120809 Long DBT CORP US N 2 2030-10-01 Fixed 0.06625000 N N N N N N Seagate Technology plc 529900BD50TRWEG1SF63 Seagate HDD Cayman 81180WAV3 34000.00000000 PA USD 34935.00000000 0.007483641423 Long DBT CORP KY N 2 2022-03-01 Fixed 0.04250000 N N N N N Edgewell Personal Care Company 549300CY8QZDL4Z3RU59 Edgewell Personal Care Company 28035QAA0 50000.00000000 PA USD 52800.00000000 0.011310613056 Long DBT CORP US N 2 2028-06-01 Fixed 0.05500000 N N N N N N Community Health Systems, Inc. 5493007X5NC5XI1BB106 Community Health Systems, Inc. 12543DBG4 35000.00000000 PA USD 36662.50000000 0.007853699833 Long DBT CORP US N 2 2027-03-15 Fixed 0.05625000 N N N N N N Stryker Corporation 5493002F0SC4JTBU5137 Stryker Corporation 863667AQ4 45000.00000000 PA USD 49710.58000000 0.010648809379 Long DBT CORP US N 2 2028-03-07 Fixed 0.03650000 N N N N N N Lockheed Martin Corporation DPRBOZP0K5RM2YE8UU08 Lockheed Martin Corporation 539830109 2004.00000000 NS USD 740478.00000000 0.158622351045 Long EC CORP US N 1 N N N BURFORD CAPITAL GLBL FIN 549300JVAOO67CSCH406 Burford Capital Global Finance, LLC 12116LAA7 40000.00000000 PA USD 41000.00000000 0.008782862411 Long DBT CORP US N 2 2028-04-15 Fixed 0.06250000 N N N N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Notes 912828ZF0 1550000.00000000 PA USD 1540130.86000000 0.329920913155 Long DBT UST US N 2 2025-03-31 Fixed 0.00500000 N N N N N N NVIDIA CORP 549300S4KLFTLO7GSQ80 NVIDIA Corporation 67066GAF1 22000.00000000 PA USD 23104.41000000 0.004949337905 Long DBT CORP US N 2 2030-04-01 Fixed 0.02850000 N N N N N N Federal Home Loan Banks Office of Finance 2549001DPIFGXC1TOL40 Federal Home Loan Bank Discount Notes 313385GJ9 200000.00000000 PA USD 199993.11000000 0.042841755327 Long STIV USGSE US N 2 N N N Standard Chartered PLC U4LOSYZ7YG4W3S5F2G91 Standard Chartered plc 853254BV1 52000.00000000 PA USD 52330.20000000 0.011209974306 Long DBT CORP GB N 2 2023-10-14 Variable 0.01319000 N N N N N N Tiaa Board Of Overseers W4CSTD4RDGQSJ4FOVO30 Nuveen Credit Strategies Income Fund 67073D102 12050.00000000 NS USD 78325.00000000 0.016778480448 Long RF US N 1 N N N AMERICAN AIRLINES INC IWUQB36BXD6OWD6X4T14 American Airlines, Inc. 023771S58 70000.00000000 PA USD 86589.30000000 0.018548827029 Long DBT CORP US N 2 2025-07-15 Fixed 0.11750000 N N N N N N Liberty Broadband Corporation 549300N3IE9H88Q20221 GCI, LLC 36166TAB6 70000.00000000 PA USD 71662.50000000 0.015351265306 Long DBT CORP US N 2 2028-10-15 Fixed 0.04750000 N N N N N N Customers Bancorp, Inc. 549300WLBCHYKZ53FN68 Customers Bancorp, Inc. 23204G100 189.00000000 NS USD 6013.98000000 0.001288291680 Long EC CORP US N 1 N N N Omega Healthcare Investors, Inc. 549300OJ7ENK42CZ8E73 Omega Healthcare Investors, Inc. 681936BK5 46000.00000000 PA USD 50524.34000000 0.010823129918 Long DBT CORP US N 2 2028-01-15 Fixed 0.04750000 N N N N N N UNITED STATES STEEL CORP JNLUVFYJT1OZSIQ24U47 United States Steel Corporation 912909AU2 110000.00000000 PA USD 112475.00000000 0.024093962189 Long DBT CORP US N 2 2029-03-01 Fixed 0.06875000 N N N N N N Apple Inc. HWUPKR0MPOU8FGXBT394 Apple, Inc. 037833100 48096.00000000 NS USD 5874926.40000000 1.258504152438 Long EC CORP US N 1 N N N Ivanhoe Mines Ltd. 5299006XZISURYIA4G32 Ivanhoe Mines, Ltd. 46579R955 36220.00000000 NS 186475.21000000 0.039946002746 Long EC CORP CA N 2 N N N Diageo plc 213800L23DJLALFC4O95 Diageo Capital plc 25243YBC2 42000.00000000 PA USD 42389.98000000 0.009080618584 Long DBT CORP GB N 2 2025-09-29 Fixed 0.01375000 N N N N N N Emerald Holding, Inc. N/A Emerald Holding, Inc. 29103W104 1009.00000000 NS USD 5569.68000000 0.001193115441 Long EC CORP US N 1 N N N Chevron Corporation N/A Chevron Corporation 166764100 1266.00000000 NS USD 132664.14000000 0.028418802160 Long EC CORP US N 1 N N N Columbia Cent CLO 27 Limited 549300066YASG4MIU864 Cent CLO, LP 19736RAJ0 850000.00000000 PA USD 850128.35000000 0.182111227568 Long ABS-O CORP KY N 2 2028-10-25 Floating 0.02517800 N N N N N N Broadcom Inc. N/A Broadcom Corporation 11134LAP4 90000.00000000 PA USD 95761.13000000 0.020513581199 Long DBT CORP US N 2 2025-01-15 Fixed 0.03125000 N N N N N N Welltower Inc. T6IZ0MBEG5ACZDTR7D06 Welltower, Inc. 95040QAM6 45000.00000000 PA USD 44726.80000000 0.009581203183 Long DBT CORP US N 2 2031-06-01 Fixed 0.02800000 N N N N N N Ally Financial Inc. 549300JBN1OSM8YNAI90 Ally Financial, Inc. 36186CBY8 45000.00000000 PA USD 62670.32000000 0.013424995069 Long DBT CORP US N 2 2031-11-01 Fixed 0.08000000 N N N N N N Staples, Inc. XQM2JINI1UL7642TU573 Staples, Inc., Term Loan N/A 191091.28000000 PA USD 187666.92000000 0.040201286282 Long DBT CORP US N 2 2024-09-12 Floating 0.04705000 N N N N N N Union Pacific Corporation 549300LMMRSZZCZ8CL11 Union Pacific Corporation 907818108 2035.00000000 NS USD 448534.35000000 0.096083304462 Long EC CORP US N 1 N N N Teva Pharmaceutical Industries Limited 5493004T21MOAFINJP35 Teva Pharmaceutical Finance Netherlands III BV 88167AAC5 17000.00000000 PA USD 16978.75000000 0.003637122565 Long DBT CORP NL N 2 2021-07-21 Fixed 0.02200000 N N N N N N Pine Street Trust I N/A Pine Street Trust I 722844AA5 45000.00000000 PA USD 50563.89000000 0.010831602167 Long DBT CORP US N 2 2029-02-15 Fixed 0.04572000 N N N N N N Johnson & Johnson 549300G0CFPGEF6X2043 Johnson & Johnson 478160104 9405.00000000 NS USD 1545711.75000000 0.331116429960 Long EC CORP US N 1 N N N BNP Paribas SA R0MUWSFPU8MPRO8K5P83 BNP Paribas SA 09659W2J2 38000.00000000 PA USD 40000.94000000 0.008568847618 Long DBT CORP FR N 2 2025-11-19 Variable 0.02819000 N N N N N N Palmer Square Loan Funding 2019-1 Ltd N/A Palmer Square Loan Funding, Ltd. 69700VAE9 300000.00000000 PA USD 300083.10000000 0.064282648277 Long ABS-O CORP KY N 2 2027-04-20 Floating 0.02474000 N N N N N N Service Properties Trust 529900IS770AG1K9QG27 Service Properties Trust 44106MAR3 60000.00000000 PA USD 60951.60000000 0.013056817477 Long DBT CORP US N 2 2023-06-15 Fixed 0.04500000 N N N N N N CHS/COMMUNITY HEALTH SYS 5493007X5NC5XI1BB106 Community Health Systems, Inc. 12543DBJ8 90000.00000000 PA USD 94218.30000000 0.020183082086 Long DBT CORP US N 2 2029-04-15 Fixed 0.06875000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GJK6 141000.00000000 PA USD 139172.35000000 0.029812965891 Long DBT CORP US N 2 2026-10-24 Variable 0.01197000 N N N N N N Standard Life Aberdeen plc 549300J666ZH67203572 Aberdeen Asia-Pacific Income Fund, Inc. 003009107 13445.00000000 NS USD 54990.05000000 0.011779757150 Long RF US N 1 N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599CJ2 120000.00000000 PA USD 102772.80000000 0.022015594196 Long DBT CORP US N 2 2046-04-15 Fixed 0.04400000 N N N N N N The Bank of New York Mellon Corporation WFLLPEPC7FZXENRZV188 Bank of New York Mellon Corporation 06406RAF4 63000.00000000 PA USD 68897.57000000 0.014758972629 Long DBT CORP US N 2 2028-01-29 Fixed 0.03400000 N N N N N N Fortive Corporation 549300MU9YQJYHDQEF63 Fortive Corporation 34959J108 685.00000000 NS USD 48388.40000000 0.010365577061 Long EC CORP US N 1 N N N Xcel Energy Inc. LGJNMI9GH8XIDG5RCM61 Xcel Energy, Inc. 98389BAV2 45000.00000000 PA USD 49970.71000000 0.010704533427 Long DBT CORP US N 2 2028-06-15 Fixed 0.04000000 N N N N N N Netflix, Inc. 549300Y7VHGU0I7CE873 Netflix, Inc. 64110LAS5 175000.00000000 PA USD 197968.75000000 0.042408104708 Long DBT CORP US N 2 2028-04-15 Fixed 0.04875000 N N N N N N Hess Midstream LP N/A Hess Midstream Operations, LP 428102AC1 60000.00000000 PA USD 61800.00000000 0.013238558464 Long DBT CORP US N 2 2026-02-15 Fixed 0.05625000 N N N N N N General Motors Company 54930070NSV60J38I987 General Motors Company 37045VAW0 46000.00000000 PA USD 49947.84000000 0.010699634304 Long DBT CORP US N 2 2023-10-02 Fixed 0.05400000 N N N N N N Omnicom Group Inc. HKUPACFHSSASQK8HLS17 Omnicom Group, Inc. 681919BC9 45000.00000000 PA USD 50641.02000000 0.010848124659 Long DBT CORP US N 2 2030-06-01 Fixed 0.04200000 N N N N N N Chart Industries, Inc. EM7QGKC1GYOF3LSZSL80 Chart Industries, Inc., Convertible 16115QAD2 117000.00000000 PA USD 290379.38000000 0.062203954676 Long DBT CORP US N 2 2024-11-15 Fixed 0.01000000 N N N N Y Chart Industries Inc Chart Industries Inc USD XXXX N N N MetLife, Inc. C4BXATY60WC6XEOZDX54 MetLife, Inc. 59156RCA4 84000.00000000 PA USD 86730.00000000 0.018578967243 Long DBT CORP US N 2 2025-09-15 Variable 0.03850000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GHR3 35000.00000000 PA USD 37581.95000000 0.008050660878 Long DBT CORP US N 2 2025-03-15 Variable 0.03458000 N N N N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280CM9 41000.00000000 PA USD 40348.92000000 0.008643390556 Long DBT CORP GB N 2 2027-05-24 Variable 0.01589000 N N N N N N Public Storage 549300LMZF40TKJ6DM64 Public Storage, 4.625% 74460W552 1300.00000000 NS USD 34918.00000000 0.007479999748 Long EP CORP US N 1 N N N Microsoft Corporation INR2EJN1ERAN0W5ZP974 Microsoft Corporation 594918104 28694.00000000 NS USD 6765184.38000000 1.449211795102 Long EC CORP US N 1 N N N American Equity Investment Life Holding Company 549300RK5RZQ740FPL83 American Equity Investment Life Holding Company 025676206 3062.00000000 NS USD 96544.86000000 0.020681468827 Long EC CORP US N 1 N N N Hannon Armstrong Sustainable Infrastructure Capital, Inc. N/A Hannon Armstrong Sustainable Infrastructure Capital, Convertible 41068XAB6 136000.00000000 PA USD 280336.80000000 0.060052671788 Long DBT CORP US N 2 2022-09-01 Fixed 0.04125000 N N N N N Hannon Armstrong Sustainable Infrastructure Capital Inc Hannon Armstrong Sustainable Infrastructure Capital Inc USD XXXX N N N China National Chemical Corporation Ltd. 54930042S3BYCEGOCN86 Syngenta Finance NV 87164KAE4 71000.00000000 PA USD 71131.18000000 0.015237447978 Long DBT NUSS NL N 2 2021-04-23 Fixed 0.03933000 N N N N N N Plymouth Industrial REIT, Inc. N/A Plymouth Industrial REIT, Inc. 729640102 258.00000000 NS USD 4347.30000000 0.000931261896 Long EC CORP US N 1 N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley, 7.125% 61762V200 3100.00000000 NS USD 89466.00000000 0.019165062646 Long EP CORP US N 1 N N CenturyLink, Inc. N/A Level 3 Financing, Inc. 527298BR3 190000.00000000 PA USD 192148.90000000 0.041161398811 Long DBT CORP US N 2 2028-07-01 Fixed 0.04250000 N N N N N N Helios Technologies, Inc. 5493000BCJSMIDRNTI78 Helios Technologies, Inc. 42328H109 4469.00000000 NS USD 325656.03000000 0.069760783049 Long EC CORP US N 1 N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 060505FL3 62000.00000000 PA USD 67621.54000000 0.014485626387 Long DBT CORP US N 2 2028-03-15 Variable 0.05875000 N N N N N N Salesforce.com, Inc. RCGZFPDMRW58VJ54VR07 Salesforce.com, Inc. 79466L302 4690.00000000 NS USD 993670.30000000 0.212860232377 Long EC CORP US N 1 N N N American Campus Communities, Inc. 529900MR3ZXRO3W6UX26 American Campus Communities, Inc. 024835100 13512.00000000 NS USD 583313.04000000 0.124955077396 Long EC CORP US N 1 N N N The Procter & Gamble Company 2572IBTT8CCZW6AU4141 Procter & Gamble Company 742718FM6 45000.00000000 PA USD 41642.46000000 0.008920487723 Long DBT CORP US N 2 2030-10-29 Fixed 0.01200000 N N N N N N Napco Security Technologies, Inc. 529900KV21J4YY9YST76 NAPCO Security Technologies, Inc. 630402105 7251.00000000 NS USD 252552.33000000 0.054100789418 Long EC CORP US N 1 N N N DexCom, Inc. 549300YSK3QDSFR5EU59 Dexcom, Inc. 252131107 1069.00000000 NS USD 384187.91000000 0.082299257408 Long EC CORP US N 1 N N N Federal Home Loan Banks Office of Finance 2549001DPIFGXC1TOL40 Federal Home Loan Bank Discount Notes 313385EX0 500000.00000000 PA USD 500000.00000000 0.107108078191 Long STIV USGSE US N 2 N N N Truist Financial Corporation 549300DRQQI75D2JP341 Truist Financial Corporation 89832QAE9 189000.00000000 PA USD 204828.75000000 0.043877627541 Long DBT CORP US N 2 2025-09-01 Variable 0.04950000 N N N N N N QBE Insurance Group Limited 549300D2FBW76FPUSG65 QBE Insurance Group, Ltd. 74728GAE0 84000.00000000 PA USD 90405.00000000 0.019366211617 Long DBT CORP AU N 2 2025-05-12 Variable 0.05875000 N N N N N N Vericrest Opportunity Loan Transferee N/A Vericrest Opportunity Loan Transferee 92873AAB4 250000.00000000 PA USD 249010.45000000 0.053342061498 Long ABS-CBDO CORP US N 2 2051-02-27 Variable 0.04948700 N N N N N N BP plc 549300CRVT18MXX0AG93 BP Capital Markets plc 05565QDV7 84000.00000000 PA USD 89985.00000000 0.019276240832 Long DBT CORP GB N 2 2030-03-22 Variable 0.04875000 N N N N N N Energy Transfer LP 5493008K8W3OKZE54J59 Energy Transfer Operating, LP 29278NAC7 41000.00000000 PA USD 43905.98000000 0.009405370277 Long DBT CORP US N 2 2023-09-15 Fixed 0.04200000 N N N N N N UnitedHealth Group Incorporated 549300GHBMY8T5GXDE41 UnitedHealth Group, Inc. 91324P102 1828.00000000 NS USD 680143.96000000 0.145697824897 Long EC CORP US N 1 N N N Marathon Petroleum Corporation 5493000CZJ19CK4P3G36 MPLX, LP 55336V100 1300.00000000 NS USD 33319.00000000 0.007137468114 Long EC CORP US N 1 N N N Enphase Energy, Inc. 5493008U7KIGMI59Z314 Enphase Energy, Inc. 29355A107 1636.00000000 NS USD 265293.76000000 0.056830209579 Long EC CORP US N 1 N N N Lantheus Holdings, Inc. 5299005HUB5IOJGO7S39 Lantheus Holdings, Inc. 516544103 8291.00000000 NS USD 177178.67000000 0.037954533680 Long EC CORP US N 1 N N N NVR, Inc. 529900RWXR4JI3JYTV70 NVR, Inc. 62944T105 178.00000000 NS USD 838545.54000000 0.179630002530 Long EC CORP US N 1 N N N Valero Energy Corporation 549300XTO5VR8SKV1V74 Valero Energy Corporation 91913Y100 3433.00000000 NS USD 245802.80000000 0.052654931044 Long EC CORP US N 1 N N N Sinclair Broadcast Group, Inc. 5493002K6DHWNZH8YA34 Diamond Sports Group, LLC, Term Loan N/A 515349.05000000 PA USD 351725.73000000 0.075345333981 Long DBT CORP US N 2 2026-08-24 Floating 0.03360000 N N N N N N Badger Daylighting Ltd. N/A Badger Daylighting, Ltd. 05651W951 11329.00000000 NS 386467.92000000 0.082787672387 Long EC CORP CA N 2 N N N Tesla, Inc. 54930043XZGB27CTOV49 Tesla, Inc. 88160R101 2651.00000000 NS USD 1770682.43000000 0.379308784328 Long EC CORP US N 1 N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company 949746TD3 116000.00000000 PA USD 117148.40000000 0.025095079974 Long DBT CORP US N 2 2026-03-15 Variable 0.03900000 N N N N N N Bunge Limited 5493007M0RIN8HY3MM77 Bunge, Ltd. G16962105 3813.00000000 NS USD 302256.51000000 0.064748227813 Long EC CORP BM N 1 N N N CVS Health Corporation 549300EJG376EN5NQE29 CVS Health Corporation 126650100 4734.00000000 NS USD 356138.82000000 0.076290689158 Long EC CORP US N 1 N N N Bellemeade Re 2020-1 Ltd. N/A Bellemeade Re, Ltd. 07876TAB8 194111.12000000 PA USD 194775.58000000 0.041724076104 Long ABS-CBDO CORP BM N 2 2030-06-25 Floating 0.03508600 N N N N N N APA Corporation 72ZZ1XRHOOU9P9X16K08 Apache Corporation 037411BE4 70000.00000000 PA USD 69790.00000000 0.014950145553 Long DBT CORP US N 2 2028-10-15 Fixed 0.04375000 N N N N N N Inberdon Enterprises Ltd. 549300VGDEEG8RT7VC89 United States Lime & Minerals, Inc. 911922102 2321.00000000 NS USD 310340.91000000 0.066480036908 Long EC CORP US N 1 N N N KLA Corporation 549300H0BF5JCG96TJ81 KLA-Tencor Corporation 482480100 533.00000000 NS USD 176103.20000000 0.037724150630 Long EC CORP US N 1 N N N JPMorgan Chase & Co. N/A Structured Asset Mortgage Investments, Inc. 86359LLZ0 309481.87800000 PA USD 298159.27000000 0.063870532809 Long ABS-CBDO CORP US N 2 2035-12-25 Floating 0.00728600 N N N N N N Pebblebrook Hotel Trust 5493004Q1NNH6JXCSI52 Pebblebrook Hotel Trust, Convertible 70509VAA8 172000.00000000 PA USD 201240.00000000 0.043108859310 Long DBT CORP US N 2 2026-12-15 Fixed 0.01750000 N N N N Y Pebblebrook Hotel Trust Pebblebrook Hotel Trust USD XXXX N N N Bank of America Corporation N/A Banc of America Mortgage Securities Trust 05949CGB6 145640.45900000 PA USD 146510.40000000 0.031384894758 Long ABS-CBDO CORP US N 2 2035-09-25 Variable 0.02630700 N N N N N N Energean Israel Finance Ltd 98450044QACBL3F8EB03 Energean Israel Finance, Ltd. N/A 70000.00000000 PA USD 70355.60000000 0.015071306211 Long DBT CORP IL N 2 2024-03-30 Fixed 0.04500000 N N N N N N Big Lots, Inc. N/A Big Lots, Inc. 089302103 1247.00000000 NS USD 85170.10000000 0.018244811460 Long EC CORP US N 1 N N N NORTHRIVER MIDSTREAM FINANCE 549300SOLNLY3BL6GF18 Northriver Midstream Finance, LP, Term Loan N/A 582550.50000000 PA USD 573905.45000000 0.122939819625 Long DBT CORP US N 2 2025-10-01 Floating 0.03487500 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136AAKZ7 894962.65000000 PA USD 45657.77000000 0.009780631998 Long ABS-CBDO USGSE US N 2 2027-12-25 Fixed 0.03000000 N N N N N N Garmin Ltd. 2549001E0HIPIJQ0W046 Garmin, Ltd. H2906T109 423.00000000 NS USD 55772.55000000 0.011947381292 Long EC CORP CH N 1 N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599DA0 60000.00000000 PA USD 60000.00000000 0.012852969382 Long DBT CORP US N 2 2024-07-15 Fixed 0.03450000 N N N N N N Viatris Inc. 30ZMPDNA1RHIBH89C294 Mylan, Inc. 628530BD8 34000.00000000 PA USD 36680.45000000 0.007857545013 Long DBT CORP US N 2 2023-11-29 Fixed 0.04200000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46647PBT2 190000.00000000 PA USD 185574.24000000 0.039753000416 Long DBT CORP US N 2 2026-11-19 Variable 0.01045000 N N N N N N Ameriprise Financial, Inc. 6QVMFZKY1QSOOIHD7Y77 Tri-Continental Corporation 895436103 1883.00000000 NS USD 61065.69000000 0.013081257398 Long RF US N 1 N N N Bank of Montreal NQQ6HPCNCCU6TUTQYE16 Bank of Montreal 06367WHH9 105000.00000000 PA USD 112626.22000000 0.024126355956 Long DBT CORP CA N 2 2024-02-05 Fixed 0.03300000 N N N N N N Stitch Fix, Inc. 549300TNHOVBOJZIYE72 Stitch Fix, Inc. 860897107 509.00000000 NS USD 25215.86000000 0.005401644609 Long EC CORP US N 1 N N N CNX Resources Corporation 549300JK3KH8PWM3B226 CNX Resources Corporation 12653CAJ7 45000.00000000 PA USD 46763.10000000 0.010017411542 Long DBT CORP US N 2 2029-01-15 Fixed 0.06000000 N N N N N N Dropbox, Inc. 549300JCDF7UAR6TJR51 Dropbox, Inc. 26210C104 11206.00000000 NS USD 298751.96000000 0.063997496582 Long EC CORP US N 1 N N N Groupe BPCE 9695005MSX1OYEMGDF46 BPCE SA 05583JAA0 35000.00000000 PA USD 36005.81000000 0.007713026225 Long DBT CORP FR N 2 2022-05-22 Fixed 0.03000000 N N N N N N Granite Point Mortgage Trust Inc. 529900VX2HQZ76AYIE02 Granite Point Mortgage Trust, Inc. 38741L107 535.00000000 NS USD 6403.95000000 0.001371829554 Long EC CORP US N 1 N N N Halozyme Therapeutics, Inc. 529900242I3SV9AGM753 Halozyme Therapeutics, Inc. 40637H109 5477.00000000 NS USD 228336.13000000 0.048913288131 Long EC CORP US N 1 N N N NuStar Energy L.P. N62BF2PKP51FIIOIUN20 Nustar Logistics, LP, 6.975% 67059T204 1536.00000000 NS USD 37862.40000000 0.008110737799 Long EP CORP US N 1 N N N Sony Corporation 529900R5WX9N2OI2N910 Sony Corporation ADR 835699307 5438.00000000 NS USD 576482.38000000 0.123491839665 Long EC CORP JP N 1 N N N Toyota Motor Corporation Z2VZBHUMB7PWWJ63I008 Toyota Motor Credit Corporation 89236THP3 69000.00000000 PA USD 67798.04000000 0.014523435539 Long DBT CORP US N 2 2025-10-16 Fixed 0.00800000 N N N N N N NATGASOLINE 549300OHXDYMQYZOWC24 Natgasoline, LLC, Term Loan N/A 425212.50000000 PA USD 420960.38000000 0.090176514592 Long DBT CORP US N 3 2025-11-14 Floating 0.03625000 N N N N N N Taylor Morrison Home Corporation 5299009UDLLGLKOOJE30 Taylor Morrison Home Corporation 87724P106 1509.00000000 NS USD 46492.29000000 0.009959399665 Long EC CORP US N 1 N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GHL6 143000.00000000 PA USD 153163.42000000 0.032810079130 Long DBT CORP US N 2 2024-07-23 Variable 0.03864000 N N N N N N Zumiez Inc. 549300J0PDF58P6HZD25 Zumiez, Inc. 989817101 5557.00000000 NS USD 238395.30000000 0.051068124865 Long EC CORP US N 1 N N N Burlington Stores, Inc. 5299003Z37DVGKKC1W09 Burlington Stores, Inc., Convertible 122017AA4 298000.00000000 PA USD 447558.75000000 0.095874315180 Long DBT CORP US N 2 2025-04-15 Fixed 0.02250000 N N N N Y Burlington Stores Inc Burlington Stores Inc USD XXXX N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 48128BAG6 258000.00000000 PA USD 260902.50000000 0.055889530740 Long DBT CORP US N 2 2025-02-01 Variable 0.04600000 N N N N N N Sysco Corporation 5RGWIFLMGH3YS7KWI652 Sysco Corporation 871829BP1 65000.00000000 PA USD 75582.18000000 0.016190924090 Long DBT CORP US N 2 2025-04-01 Fixed 0.05650000 N N N N N N Carvana Co. 5493003WEAK2PJ5WS063 Carvana Company 146869102 1139.00000000 NS USD 298873.60000000 0.064023553836 Long EC CORP US N 1 N N N HomeTrust Bancshares, Inc. N/A Hometrust Bancshares, Inc. 437872104 934.00000000 NS USD 22742.90000000 0.004871896622 Long EC CORP US N 1 N N N TNS Inc. N/A TNS, Inc., Term Loan N/A 274036.95000000 PA USD 272551.67000000 0.058384971163 Long DBT CORP US N 2 2022-08-14 Floating 0.04110000 N N N N N N Deutsche Telekom AG 529900ERDFHS6C1M4U58 Deutsche Telekom International Finance BV 25156PAV5 34000.00000000 PA USD 35409.08000000 0.007585197018 Long DBT CORP NL N 2 2023-09-19 Fixed 0.02485000 N N N N N N Fifth Third Bancorp THRNG6BD57P9QWTQLG42 Fifth Third Bancorp 316773DB3 84000.00000000 PA USD 89208.00000000 0.019109794878 Long DBT CORP US N 2 2025-09-30 Variable 0.04500000 N N N N N N Zayo Group Holdings, Inc. 529900Z6OTS7RT0V0I47 Front Range BidCo, Inc. 98919VAA3 100000.00000000 PA USD 98250.00000000 0.021046737364 Long DBT CORP US N 2 2027-03-01 Fixed 0.04000000 N N N N N N iStar Inc. QFFLKWYYS3UPWD86E794 iStar, Inc. 45031UCG4 70000.00000000 PA USD 70483.00000000 0.015098597350 Long DBT CORP US N 2 2025-08-01 Fixed 0.04250000 N N N N N N Terrier Media Buyer, Inc. N/A Terrier Media Buyer, Inc., Term Loan N/A 304237.50000000 PA USD 301237.72000000 0.064529986535 Long DBT CORP US N 2 2026-12-17 Floating 0.03608500 N N N N N N Enova International, Inc. 549300O8XOCQSB49UO63 Enova International, Inc. 29357K103 453.00000000 NS USD 16072.44000000 0.003442976320 Long EC CORP US N 1 N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company 95000U2R3 40000.00000000 PA USD 40861.76000000 0.008753249170 Long DBT CORP US N 2 2024-06-02 Variable 0.01654000 N N N N N N Toyota Motor Corporation Z2VZBHUMB7PWWJ63I008 Toyota Motor Credit Corporation 89236THU2 52000.00000000 PA USD 51857.52000000 0.011108718613 Long DBT CORP US N 2 2024-01-11 Fixed 0.00450000 N N N N N N Sunoco LP N/A Sunoco, LP 86765LAN7 90000.00000000 PA USD 94196.70000000 0.020178455017 Long DBT CORP US N 2 2028-03-15 Fixed 0.05875000 N N N N N N Novavax, Inc. 529900J4GJHPEPQ23205 Novavax, Inc. 670002401 951.00000000 NS USD 172425.81000000 0.036936394279 Long EC CORP US N 1 N N N FLEX ACQUISITION CO INC 549300HHED2KGPBEDW39 Flex Acquisition Company, Inc., Term Loan N/A 694895.12000000 PA USD 682734.46000000 0.146252751851 Long DBT CORP US N 2 2025-06-29 Floating 0.03237500 N N N N N N Archrock, Inc. N/A Archrock Partners, LP 03959KAC4 70000.00000000 PA USD 71106.00000000 0.015232054015 Long DBT CORP US N 2 2028-04-01 Fixed 0.06250000 N N N N N N Cheniere Energy, Inc. MIHC87W9WTYSYZWV1J40 Cheniere Energy, Inc., Convertible 16411RAG4 34000.00000000 PA USD 27777.26000000 0.005950337872 Long DBT CORP US N 2 2045-03-15 Fixed 0.04250000 N N N N Y Cheniere Energy Inc Cheniere Energy Inc USD XXXX N N N Tenet Healthcare Corporation 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corporation 88033GCS7 60000.00000000 PA USD 61241.40000000 0.013118897319 Long DBT CORP US N 2 2024-07-15 Fixed 0.04625000 N N N N N N Verint Systems Inc. 549300KEQJS5FRVUCO94 Verint Systems, Inc., Convertible 92343XAA8 159000.00000000 PA USD 179081.37000000 0.038362122761 Long DBT CORP US N 2 2021-06-01 Fixed 0.01500000 N N N N Y Verint Systems Inc Verint Systems Inc USD XXXX N N N McKesson Corporation 549300WZWOM80UCFSF54 McKesson Corporation 581557BQ7 35000.00000000 PA USD 34272.47000000 0.007341716793 Long DBT CORP US N 2 2025-12-03 Fixed 0.00900000 N N N N N N Lincoln National Corporation EFQMQROEDSNBRIP7LE47 Lincoln National Corporation 534187BH1 45000.00000000 PA USD 49730.72000000 0.010653123692 Long DBT CORP US N 2 2028-03-01 Fixed 0.03800000 N N N N N N NextEra Energy, Inc. N/A NextEra Energy, Inc. 65339F101 914.00000000 NS USD 69107.54000000 0.014803951595 Long EC CORP US N 1 N N N Glacier Bancorp, Inc. 549300SMJAUKZB5D7V74 Glacier Bancorp, Inc. 37637Q105 3575.00000000 NS USD 204061.00000000 0.043713163087 Long EC CORP US N 1 N N N Zoetis Inc. 549300HD9Q1LOC9KLJ48 Zoetis, Inc. 98978VAB9 52000.00000000 PA USD 54190.91000000 0.011608568451 Long DBT CORP US N 2 2023-02-01 Fixed 0.03250000 N N N N N N Amedisys, Inc. 5299001RBS9GK9STN379 Amedisys, Inc. 023436108 1320.00000000 NS USD 349522.80000000 0.074873430784 Long EC CORP US N 1 N N N Meritor, Inc. 5LTG829X630QFHTFBO82 Meritor, Inc. 59001KAH3 50000.00000000 PA USD 50150.00000000 0.010742940242 Long DBT CORP US N 2 2028-12-15 Fixed 0.04500000 N N N N N N IDEX Corporation 549300U5Y5EL6PHYLF13 IDEX Corporation 45167R104 1657.00000000 NS USD 346843.24000000 0.074299425740 Long EC CORP US N 1 N N N The Royal Bank of Scotland Group plc 2138005O9XJIJN4JPN90 Royal Bank of Scotland Group plc 780097BB6 84000.00000000 PA USD 85995.00000000 0.018421518368 Long DBT CORP GB N 2 2021-08-15 Variable 0.08625000 N N N N N N Bloomin' Brands, Inc. N/A Bloomin' Brands, Inc. 094235108 4045.00000000 NS USD 109417.25000000 0.023438942736 Long EC CORP US N 1 N N N Banff Parent Inc. 549300DSDR5SWIGOZV63 Banff Merger Sub, Inc. 05988LAA6 35000.00000000 PA USD 37275.00000000 0.007984907229 Long DBT CORP US N 2 2026-09-01 Fixed 0.09750000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 15-Yr. Pass Through 01F012445 3850000.00000000 PA USD 3867381.60000000 0.828455621616 Long ABS-MBS USGSE US N 2 2036-04-01 Fixed 0.01500000 N N N N N N SS&C Technologies Holdings, Inc. 549300KY09TR3J12JU49 SS&C Technologies, Inc., Term Loan N/A 41806.87000000 PA USD 41323.16000000 0.008852088504 Long DBT CORP US N 2 2025-04-16 Floating 0.01858500 N N N N N N Chubb Limited CZCBJZWDMLTHWJDXU843 ACE INA Holdings, Inc. 00440EAU1 65000.00000000 PA USD 67229.94000000 0.014401739340 Long DBT CORP US N 2 2022-11-03 Fixed 0.02875000 N N N N N N ANSYS, Inc. 549300VJV8H15Z5FJ571 ANSYS, Inc. 03662Q105 1245.00000000 NS USD 422752.20000000 0.090560351386 Long EC CORP US N 1 N N N Bellemeade Re 2020-2 Ltd. N/A Bellemeade Re, Ltd. 078782AA7 129421.29000000 PA USD 129709.17000000 0.027785799844 Long ABS-CBDO CORP BM N 2 2030-08-26 Floating 0.02408600 N N N N N N Silver Hill Trust 2019-SBC1 N/A Silver Hill Trust 82773XAA8 193401.74600000 PA USD 200131.59000000 0.042871419980 Long ABS-CBDO CORP US N 2 2049-11-25 Variable 0.03102000 N N N N N N Bank of America Corporation N/A Banc of America Mortgage Securities Trust 05949CFW1 49679.63400000 PA USD 48763.93000000 0.010446021654 Long ABS-CBDO CORP US N 2 2035-09-25 Variable 0.02976400 N N N N N N Australia and New Zealand Banking Group Limited JHE42UYNWWTJB8YTTU19 Australia and New Zealand Banking Group, Ltd. 052528AL0 102000.00000000 PA USD 105418.02000000 0.022582243057 Long DBT CORP AU N 2 2030-07-22 Variable 0.02950000 N N N N N N Palmer Square Clo 2015-1 Ltd 5493006ZPBFJJGSXB826 Palmer Square CLO, Ltd. 69689ABG4 400000.00000000 PA USD 398959.20000000 0.085463506377 Long ABS-O CORP KY N 2 2029-05-21 Floating 0.02241250 N N N N N N Next Alt S.a.r.l. 3HG2WD2W22M120IUNG49 CSC Holdings, LLC, Term Loan N/A 370812.50000000 PA USD 365328.18000000 0.078259198537 Long DBT CORP US N 2 2025-07-17 Floating 0.02356000 N N N N N N WEC Energy Group, Inc. 549300IGLYTZUK3PVP70 WEC Energy Group, Inc. 92939U106 1537.00000000 NS USD 143847.83000000 0.030814529246 Long EC CORP US N 1 N N N LUMEN TECHNOLOGIES INC 8M3THTGWLTYZVE6BBY25 Lumen Technologies, Inc., Term Loan N/A 422719.86000000 PA USD 417778.26000000 0.089494853077 Long DBT CORP US N 2 2027-03-15 Floating 0.02358500 N N N N N N Crown Holdings, Inc. N/A Crown Americas Capital Corporation IV 228189AB2 80000.00000000 PA USD 84150.00000000 0.018026289559 Long DBT CORP US N 2 2023-01-15 Fixed 0.04500000 N N N N N N Raytheon Technologies Corporation I07WOS4YJ0N7YRFE7309 United Technologies Corporation 913017DD8 68000.00000000 PA USD 75523.13000000 0.016178274626 Long DBT CORP US N 2 2025-08-16 Fixed 0.03950000 N N N N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343VGF5 44000.00000000 PA USD 44048.30000000 0.009435857521 Long DBT CORP US N 2 2024-03-22 Fixed 0.00750000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 15-Yr. Pass Through 01F022444 4950000.00000000 PA USD 5150126.97000000 1.103240404395 Long ABS-MBS USGSE US N 2 2036-04-01 Fixed 0.02500000 N N N N N N Hope Bancorp, Inc. 549300UTF4QGMBHIZ219 Hope Bancorp, Inc. 43940T109 7528.00000000 NS USD 113371.68000000 0.024286045532 Long EC CORP US N 1 N N N EOG Resources, Inc. XWTZDRYZPBUHIQBKDB46 EOG Resources, Inc. 26875PAK7 65000.00000000 PA USD 67475.49000000 0.014454340117 Long DBT CORP US N 2 2023-03-15 Fixed 0.02625000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967LV1 83000.00000000 PA USD 84723.08000000 0.018149052554 Long DBT CORP US N 2 2023-01-24 Variable 0.03142000 N N N N N N Public Storage 549300LMZF40TKJ6DM64 Public Storage, 4.700% 74460W594 325.00000000 NS USD 8713.25000000 0.001866518924 Long EP CORP US N 1 N N N MoneyGram International, Inc. 5299002DLX0Q04KC4156 MoneyGram International, Inc., Term Loan N/A 398207.25000000 PA USD 398008.15000000 0.085259776101 Long DBT CORP US N 2 2023-06-30 Floating 0.07000000 N N N N N N The Royal Bank of Scotland Group plc 2138005O9XJIJN4JPN90 Natwest Group plc 780097BG5 45000.00000000 PA USD 51265.88000000 0.010981979767 Long DBT CORP GB N 2 2029-05-18 Variable 0.04892000 N N N N N N General Dynamics Corporation 9C1X8XOOTYY2FNYTVH06 General Dynamics Corporation 369550108 4802.00000000 NS USD 871851.12000000 0.186764595864 Long EC CORP US N 1 N N N Teradyne, Inc. C3X4YJ278QNZHRJULN75 Teradyne, Inc., Convertible 880770AG7 63000.00000000 PA USD 242313.75000000 0.051907520163 Long DBT CORP US N 2 2023-12-15 Fixed 0.01250000 N N N N Y Teradyne Inc Teradyne Inc USD XXXX N N N Deere & Company E0KSF7PFQ210NWI8Z391 John Deere Capital Corporation 24422EVC0 48000.00000000 PA USD 49933.77000000 0.010696620283 Long DBT CORP US N 2 2025-01-09 Fixed 0.02050000 N N N N N N Molina Healthcare, Inc. 549300NQQCEQ46YHZ591 Molina Healthcare, Inc. 60855RAJ9 90000.00000000 PA USD 92606.40000000 0.019837787064 Long DBT CORP US N 2 2028-06-15 Fixed 0.04375000 N N N N N N Barclays PLC 213800LBQA1Y9L22JB70 Barclays plc 06738EAC9 34000.00000000 PA USD 37161.25000000 0.007960540141 Long DBT CORP GB N 2 2024-09-11 Fixed 0.04375000 N N N N N N The E.W. Scripps Company N/A Scripps Escrow II, Inc. 81105DAA3 50000.00000000 PA USD 49125.00000000 0.010523368682 Long DBT CORP US N 2 2029-01-15 Fixed 0.03875000 N N N N N N Anglo American plc TINT358G1SSHR3L3PW36 Anglo American Capital plc 034863AZ3 45000.00000000 PA USD 44322.13000000 0.009494516331 Long DBT CORP GB N 2 2028-03-17 Fixed 0.02250000 N N N N N N CAESARS ENTERTAIN INC 549300FA4CTCW903Y781 Caesars Entertainment, Inc. 28470RAK8 25000.00000000 PA USD 27568.63000000 0.005905645955 Long DBT CORP US N 2 2027-07-01 Fixed 0.08125000 N N N N N N Hilcorp Energy Company N/A Hilcorp Energy I, LP 431318AU8 70000.00000000 PA USD 70612.50000000 0.015126338342 Long DBT CORP US N 2 2029-02-01 Fixed 0.05750000 N N N N N N McKesson Corporation 549300WZWOM80UCFSF54 McKesson Corporation 581557BJ3 45000.00000000 PA USD 50307.24000000 0.010776623591 Long DBT CORP US N 2 2028-02-16 Fixed 0.03950000 N N N N N N DICK'S Sporting Goods, Inc. 529900SSBV5I4LWSK313 Dick's Sporting Goods, Inc., Convertible 253393AC6 114000.00000000 PA USD 261202.50000000 0.055953795587 Long DBT CORP US N 2 2025-04-15 Fixed 0.03250000 N N N N Y Dick's Sporting Goods Inc Dick's Sporting Goods Inc USD XXXX N N N PACIFIC GAS & ELECTRIC 1HNPXZSMMB7HMBMVBS46 Pacific Gas and Electric Company 694308JF5 67000.00000000 PA USD 65598.00000000 0.014052151426 Long DBT CORP US N 2 2027-08-01 Fixed 0.02100000 N N N N N N Tenet Healthcare Corporation 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corporation 88033GDA5 170000.00000000 PA USD 177769.00000000 0.038080991903 Long DBT CORP US N 2 2027-11-01 Fixed 0.05125000 N N N N N N Range Resources Corporation H3Y3WLYCX0BTO1TRW162 Range Resources Corporation 75281ABG3 40000.00000000 PA USD 43460.80000000 0.009310005529 Long DBT CORP US N 2 2026-02-01 Fixed 0.09250000 N N N N N N Ally Financial Inc. 549300JBN1OSM8YNAI90 Ally Financial, Inc. 02005N100 11540.00000000 NS USD 521723.40000000 0.111761581442 Long EC CORP US N 1 N N N Foundation Finance Trust 2017-1 549300RIQ1R4PTXR5G48 Foundation Finance Trust 35040UAA9 90309.11000000 PA USD 91843.69000000 0.019674402259 Long ABS-O CORP US N 2 2033-07-15 Fixed 0.03300000 N N N N N N DISH Network Corporation 529900U350CWHH15G169 DISH Network Corporation 25470M109 7498.00000000 NS USD 271427.60000000 0.058144177208 Long EC CORP US N 1 N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 30-Yr. Pass Through 01F022659 7750000.00000000 PA USD 7936181.66000000 1.700058331558 Long ABS-MBS USGSE US N 2 2051-05-01 Fixed 0.02500000 N N N N N N Liberty Media Corporation WP5O65E6BMU84LNO4227 Sirius XM Radio, Inc. 82967NBA5 100000.00000000 PA USD 104905.00000000 0.022472345885 Long DBT CORP US N 2 2027-08-01 Fixed 0.05000000 N N N N N N General Electric Company 3C7474T6CDKPR9K6YT90 General Electric Company 369604BW2 45000.00000000 PA USD 48449.90000000 0.010378751355 Long DBT CORP US N 2 2030-05-01 Fixed 0.03625000 N N N N N N CHEMOURS CO 549300M1BOLNXL8DOV14 Chemours Company 163851AF5 50000.00000000 PA USD 52645.75000000 0.011277570214 Long DBT CORP US N 2 2028-11-15 Fixed 0.05750000 N N N N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38141GVR2 52000.00000000 PA USD 58042.45000000 0.012433630546 Long DBT CORP US N 2 2025-10-21 Fixed 0.04250000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 15-Yr. Pass Through 01F022451 1000000.00000000 PA USD 1039960.94000000 0.222776435354 Long ABS-MBS USGSE US N 2 2036-05-01 Fixed 0.02500000 N N N N N N Ingevity Corporation 5493009UTFC4B5IMGF87 Ingevity Corporation 45688CAB3 100000.00000000 PA USD 97000.00000000 0.020778967169 Long DBT CORP US N 2 2028-11-01 Fixed 0.03875000 N N N N N N CNH Industrial N.V. 549300PNSJ5B81UMVO28 CNH Industrial Capital, LLC 12592BAF1 64000.00000000 PA USD 64000.00000000 0.013709834008 Long DBT CORP US N 2 2021-04-01 Fixed 0.04875000 N N N N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company 95000U2N2 119000.00000000 PA USD 122817.52000000 0.026309497070 Long DBT CORP US N 2 2026-04-30 Variable 0.02188000 N N N N N N The Greenbrier Companies, Inc. 5493001GAGGFR30BP390 Greenbrier Companies, Inc. 393657101 3570.00000000 NS USD 168575.40000000 0.036111574248 Long EC CORP US N 1 N N N GlaxoSmithKline plc 5493000HZTVUYLO1D793 GlaxoSmithKline plc ADR 37733W105 6824.00000000 NS USD 243548.56000000 0.052172036415 Long EC CORP GB N 1 N N SM Energy Company 84BUTVXV5ODI6BXNMH43 SM Energy Company 78454L100 2250.00000000 NS USD 36832.50000000 0.007890116579 Long EC CORP US N 1 N N N Ellington Residential Mortgage REIT 549300KA3MR2ZCRGA787 Ellington Residential Mortgage REIT 288578107 1999.00000000 NS USD 24607.69000000 0.005271364769 Long EC CORP US N 1 N N N NCR Corporation 549300YKTY8JX1DV2R67 NCR Corporation 62886EAV0 140000.00000000 PA USD 148225.00000000 0.031752189779 Long DBT CORP US N 2 2029-09-01 Fixed 0.06125000 N N N N N N Chevron Corporation N/A Chevron Corporation 166764BV1 17000.00000000 PA USD 17295.10000000 0.003704889846 Long DBT CORP US N 2 2023-05-11 Fixed 0.01141000 N N N N N N Cheniere Energy, Inc. MIHC87W9WTYSYZWV1J40 Cheniere Energy, Inc. 16411R208 935.00000000 NS USD 67329.35000000 0.014423034568 Long EC CORP US N 1 N N N Icahn Enterprises L.P. N/A Icahn Enterprises, LP 451102BT3 60000.00000000 PA USD 62850.00000000 0.013463485428 Long DBT CORP US N 2 2026-05-15 Fixed 0.06250000 N N N N N N INEOS US PETROCHEM LLC N/A INEOS US Petrochem, LLC, Term Loan N/A 530000.00000000 PA USD 528012.50000000 0.113108808271 Long DBT CORP US N 2 2026-01-29 Floating 0.03250000 N N N N N N Scientific Games Corporation RLTHESQ0RNFQJWPBJN60 Scientific Games International, Inc., Term Loan N/A 1796332.52000000 PA USD 1760280.13000000 0.377080443605 Long DBT CORP US N 2 2024-08-14 Floating 0.02858500 N N N N N N Telephone and Data Systems, Inc. N/A United States Cellular Corporation 911684108 175.00000000 NS USD 6384.00000000 0.001367555942 Long EC CORP US N 1 N N N Golden Nugget Inc New N/A Golden Nugget, LLC, Term Loan N/A 514108.07000000 PA USD 505496.76000000 0.108285572991 Long DBT CORP US N 2 2023-10-04 Floating 0.03250000 N N N N N N Broadmark Capital, LLC N/A Broadmark Realty Capital, Inc. 11135B100 672.00000000 NS USD 7029.12000000 0.001505751069 Long EC CORP US N 1 N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Notes 91282CBP5 1550000.00000000 PA USD 1522875.00000000 0.326224429151 Long DBT UST US N 2 2028-02-29 Fixed 0.01125000 N N N N N N Anheuser-Busch InBev SA/NV 549300CRGMZK3K53BF92 Anheuser-Busch InBev Worldwide, Inc. 03523TBX5 56000.00000000 PA USD 62233.07000000 0.013331329055 Long DBT CORP US N 2 2025-01-23 Fixed 0.04150000 N N N N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38141GWV2 90000.00000000 PA USD 98606.13000000 0.021123026164 Long DBT CORP US N 2 2029-04-23 Variable 0.03814000 N N N N N N Advanced Drainage Systems, Inc. 6QQTOZ5MF5DHM7K92I60 Advanced Drainage Systems, Inc. 00790R104 4288.00000000 NS USD 443336.32000000 0.094969802455 Long EC CORP US N 1 N N N JBS S.A. 549300ZSLGV64ZL3HD75 Pilgrim's Pride Corporation 72147KAE8 50000.00000000 PA USD 53585.00000000 0.011478772739 Long DBT CORP US N 2 2027-09-30 Fixed 0.05875000 N N N N N N Cedar Fair, L.P. 549300TUVLNQQ6BVKH61 Cedar Fair, LP 150185106 5985.00000000 NS USD 297334.80000000 0.063693918014 Long EC CORP US N 1 N N N Cerner Corporation 549300L4UJ40IEVVI304 Cerner Corporation 156782104 5453.00000000 NS USD 391961.64000000 0.083964515970 Long EC CORP US N 1 N N N Honda Motor Co., Ltd. B6Q2VFHD1797Q7NZ3E43 American Honda Finance Corporation 02665WDL2 35000.00000000 PA USD 34851.16000000 0.007465681540 Long DBT CORP US N 2 2025-07-08 Fixed 0.01200000 N N N N N N Ford Motor Company 20S05OYHG0MQM4VUIC57 Ford Motor Company 345370CA6 75000.00000000 PA USD 94562.25000000 0.020256761733 Long DBT CORP US N 2 2031-07-16 Fixed 0.07450000 N N N N N N Restaurant Brands International Inc. N/A 1011778 B.C., ULC 68245XAJ8 110000.00000000 PA USD 110519.20000000 0.023674998230 Long DBT CORP CA N 2 2028-01-15 Fixed 0.04375000 N N N N N N GMAC ResCap, Inc., Asset Management Arm N/A Residential Accredit Loans, Inc. Trust 761118CW6 141289.21200000 PA USD 138144.96000000 0.029592882354 Long ABS-CBDO CORP US N 2 2035-08-25 Fixed 0.06000000 N N N N N N FirstEnergy Corp. 549300SVYJS666PQJH88 FirstEnergy Corporation 337932107 9829.00000000 NS USD 340968.01000000 0.073040856551 Long EC CORP US N 1 N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association 3140X5SU8 45980.66300000 PA USD 48668.91000000 0.010425666835 Long ABS-MBS USGSE US N 2 2049-06-01 Fixed 0.03500000 N N N N N N VENATOR FINANCE SARL 2221000BJZTBBAJL7429 Venator Finance SARL, Term Loan N/A 413927.65000000 PA USD 407892.58000000 0.087377180704 Long DBT CORP US N 2 2024-08-08 Floating 0.03108500 N N N N N N Medical Properties Trust, Inc. N/A MPT Operating Partnership, LP 55342UAG9 50000.00000000 PA USD 51625.00000000 0.011058909073 Long DBT CORP US N 2 2026-08-01 Fixed 0.05250000 N N N N N N Steel Dynamics, Inc. 549300HGGKEL4FYTTQ83 Steel Dynamics, Inc. 858119BL3 21000.00000000 PA USD 21887.26000000 0.004688604710 Long DBT CORP US N 2 2025-06-15 Fixed 0.02400000 N N N N N N Charter Communications, Inc. N/A CCOH Safari, LLC 1248EPBM4 164000.00000000 PA USD 169207.00000000 0.036246873173 Long DBT CORP US N 2 2026-02-15 Fixed 0.05750000 N N N N N N Agilysys, Inc. 5299001XWB5V3B5IPN93 Agilysys, Inc. 00847J105 6050.00000000 NS USD 290158.00000000 0.062156531503 Long EC CORP US N 1 N N N BP plc 213800LH1BZH3DI6G760 BP plc ADR 055622104 13685.00000000 NS USD 333229.75000000 0.071383196237 Long EC CORP GB N 1 N N N Delta Air Lines, Inc. Q2CCMS6R0AS67HJMBN42 Delta Air Lines, Inc. 247361ZX9 70000.00000000 PA USD 80637.03000000 0.017273754628 Long DBT CORP US N 2 2025-05-01 Fixed 0.07000000 N N N N N N New Residential Investment Corp. 549300WNTHGEO5LP2G31 New Residential Investment Corporation 64828T201 5513.00000000 NS USD 62021.25000000 0.013285953789 Long EC CORP US N 1 N N N Stryker Corporation 5493002F0SC4JTBU5137 Stryker Corporation 863667101 3449.00000000 NS USD 840107.42000000 0.179964582460 Long EC CORP US N 1 N N N AllianceBernstein L.P. AE2ZT9UGMEIJ7T4R5734 AllianceBernstein Global High Income Fund, Inc. 01879R106 7675.00000000 NS USD 90948.75000000 0.019482691652 Long RF US N 1 N N N Alcoa Corporation 5493000UL1QLQLT1VQ42 Alcoa Nederland Holding BV 013822AE1 95000.00000000 PA USD 102258.00000000 0.021905315719 Long DBT CORP NL N 2 2027-12-15 Fixed 0.05500000 N N N N N N Blink Charging Co. N/A Blink Charging Company 09354A100 3238.00000000 NS USD 133081.80000000 0.028508271680 Long EC CORP US N 1 N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599DF9 50000.00000000 PA USD 55188.00000000 0.011822161238 Long DBT CORP US N 2 2036-09-15 Fixed 0.06450000 N N N N N N Ally Financial Inc. N/A GMAC Capital Trust I, 5.983% 361860208 1046.00000000 NS USD 26652.08000000 0.005709306137 Long EP CORP US N 1 N N N Aegon N.V. KEIOKM01PSK5VZ5CCI74 Aegon Funding Corporation II, 5.100% 00775V104 2750.00000000 NS USD 71362.50000000 0.015287000459 Long EP CORP US N 1 N N N Entergy Corporation 4XM3TW50JULSLG8BNC79 Entergy Corporation 29364G103 8630.00000000 NS USD 858426.10000000 0.183888739680 Long EC CORP US N 1 N N N MarketAxess Holdings Inc. 5493002U1CA1XJOVID83 MarketAxess Holdings, Inc. 57060D108 79.00000000 NS USD 39335.68000000 0.008426338178 Long EC CORP US N 1 N N N Comstock Resources, Inc. I03QQGEA4SS774AURI46 Comstock Resources, Inc. 205768AR5 50000.00000000 PA USD 54250.00000000 0.011621226483 Long DBT CORP US N 2 2026-08-15 Fixed 0.09750000 N N N N N N Nesco Holdings, Inc. 254900FAHT0HW9T6L409 NESCO Holdings II, Inc. 64083YAA9 25000.00000000 PA USD 25645.00000000 0.005493573330 Long DBT CORP US N 2 2029-04-15 Fixed 0.05500000 N N N N N N AstraZeneca PLC PY6ZZQWO2IZFZC3IOL08 AstraZeneca plc 046353AV0 90000.00000000 PA USD 86681.67000000 0.018568614176 Long DBT CORP GB N 2 2026-04-08 Fixed 0.00700000 N N N N N N Microchip Technology Incorporated 5493007PTFULNYZJ1R12 Microchip Technology, Inc. 595017104 2468.00000000 NS USD 383082.96000000 0.082062559266 Long EC CORP US N 1 N N N Mizuho Financial Group, Inc. 353800CI5L6DDAN5XZ33 Mizuho Financial Group, Inc. 60687YAV1 53000.00000000 PA USD 54443.42000000 0.011662660172 Long DBT CORP JP N 2 2023-07-16 Variable 0.02721000 N N N N N N Carnival Corporation & Plc F1OF2ZSX47CR0BCWA982 Carnival Corporation 143658BG6 50000.00000000 PA USD 58812.50000000 0.012598587697 Long DBT CORP PA N 2 2026-02-01 Fixed 0.10500000 N N N N N N ON Semiconductor Corporation ZV20P4CNJVT8V1ZGJ064 ON Semiconductor Corporation, Convertible 682189AP0 269000.00000000 PA USD 557670.63000000 0.119462058886 Long DBT CORP US N 2 2023-10-15 Fixed 0.01625000 N N N N Y ON Semiconductor Corp ON Semiconductor Corp USD XXXX N N N Comcast Corporation 51M0QTTNCGUN7KFCFZ59 Comcast Corporation 20030NDG3 112000.00000000 PA USD 121265.21000000 0.025976967189 Long DBT CORP US N 2 2030-04-01 Fixed 0.03400000 N N N N N N Bank of America Corporation 549300QO5OB3VGJT6S64 BAC Capital Trust XIV 05518VAA3 92000.00000000 PA USD 90390.00000000 0.019362998375 Long DBT CORP US N 2 2021-04-19 Floating 0.04000000 N N N N N N Wyndham Destinations, Inc. T4VNTWMFQ7JQB65L7T35 Wyndham Destinations, Inc. 98310WAS7 60000.00000000 PA USD 68121.00000000 0.014592618788 Long DBT CORP US N 2 2026-07-31 Fixed 0.06625000 N N N N N N Hewlett Packard Enterprise Company 549300BX44RGX6ANDV88 Hewlett Packard Enterprise Company 42824CBE8 33000.00000000 PA USD 33991.03000000 0.007281427798 Long DBT CORP US N 2 2023-04-01 Fixed 0.02250000 N N N N N N Encompass Health Corporation 549300FVRPM9DRQZRG64 Encompass Health Corporation 29261AAA8 130000.00000000 PA USD 133135.60000000 0.028519796509 Long DBT CORP US N 2 2028-02-01 Fixed 0.04500000 N N N N N N Texas Instruments Incorporated WDJNR2L6D8RWOEB8T652 Texas Instruments, Inc. 882508BH6 76000.00000000 PA USD 77326.15000000 0.016564510640 Long DBT CORP US N 2 2025-03-12 Fixed 0.01375000 N N N N N N Cinemark Holdings, Inc. 54930008H2137JSCPQ09 Cinemark USA, Inc. 172441BD8 80000.00000000 PA USD 81915.20000000 0.017547559293 Long DBT CORP US N 2 2026-03-15 Fixed 0.05875000 N N N N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie, Inc. 00287YBX6 90000.00000000 PA USD 95739.49000000 0.020508945561 Long DBT CORP US N 2 2029-11-21 Fixed 0.03200000 N N N N N N BlackRock, Inc. 549300BOVTR6GS7HLC41 BlackRock Multi-Sector Income Trust 09258A107 4735.00000000 NS USD 85324.70000000 0.018277929278 Long RF US N 1 N N N Ally Financial Inc. 549300JBN1OSM8YNAI90 Ally Financial, Inc. 02005NBF6 75000.00000000 PA USD 85205.80000000 0.018252458977 Long DBT CORP US N 2 2025-11-20 Fixed 0.05750000 N N N N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38141GXE9 70000.00000000 PA USD 75330.50000000 0.016137010168 Long DBT CORP US N 2 2024-02-20 Fixed 0.03625000 N N N N N N NIELSEN FINANCE LLC UJ76Y189LDMPCOCW7204 Nielsen Finance, LLC, Term Loan N/A 219110.13000000 PA USD 219487.00000000 0.047017661515 Long DBT CORP US N 2 2025-06-04 Floating 0.04750000 N N N N N N Credit Suisse Group AG 549300PXR5FKNXF0OH19 Credit Suisse Group Funding (Guernsey), Ltd. 225433AH4 132000.00000000 PA USD 137482.73000000 0.029451021989 Long DBT CORP GG N 2 2022-09-15 Fixed 0.03800000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136A73W0 1222876.56000000 PA USD 57145.39000000 0.012241465800 Long ABS-CBDO USGSE US N 2 2027-08-25 Fixed 0.03000000 N N N N N N Kinder Morgan, Inc. 549300PDHUGWPWGOT525 Kinder Morgan Energy Partners, LP 494550BM7 68000.00000000 PA USD 71193.43000000 0.015250782934 Long DBT CORP US N 2 2023-02-15 Fixed 0.03450000 N N N N N N Assured Guaranty Ltd. 549300BBOQUJEPH87M14 Assured Guaranty, Ltd. G0585R106 15357.00000000 NS USD 649293.96000000 0.139089256473 Long EC CORP BM N 1 N N N Brookfield Asset Management Inc. 5493007NX94W3HSQTJ60 Brookfield Real Assets Income Fund, Inc. 112830104 2700.00000000 NS USD 55890.00000000 0.011972540980 Long RF US N 1 N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association 3140X5DP5 295084.68000000 PA USD 312279.22000000 0.066895254226 Long ABS-MBS USGSE US N 2 2049-08-01 Fixed 0.03500000 N N N N N N Humana Inc. 529900YLDW34GJAO4J06 Humana, Inc. 444859102 1112.00000000 NS USD 466206.00000000 0.099868857402 Long EC CORP US N 1 N N N HEXION INC 54930030FZF8HYAEHM46 Hexion, Inc., Term Loan N/A 345792.05000000 PA USD 345577.66000000 0.074028318056 Long DBT CORP US N 2 2026-07-01 Floating 0.03740000 N N N N N N Uber Technologies, Inc. 549300B2FTG34FILDR98 Uber Technologies, Inc. 90353T100 17025.00000000 NS USD 928032.75000000 0.198799608702 Long EC CORP US N 1 N N N Octagon Investment Partners 50 Ltd. N/A Octagon Investment Partners 50, Ltd. 67592MAJ3 275000.00000000 PA USD 275990.83000000 0.059121694799 Long ABS-O CORP KY N 2 2033-10-15 Floating 0.04470190 N N N N N N Copart, Inc. 549300KVYX3JWMYEHU61 Copart, Inc. 217204106 39.00000000 NS USD 4235.79000000 0.000907374653 Long EC CORP US N 1 N N N Toorak Mortgage Corp. 2020-1 Ltd. N/A Toorak Mortgage Corporation 89052WAA7 300000.00000000 PA USD 300692.43000000 0.064413176607 Long ABS-CBDO CORP US N 2 2023-03-25 Variable 0.02734300 N N N N N N McDonald's Corporation UE2136O97NLB5BYP9H04 McDonald's Corporation 580135101 1970.00000000 NS USD 441555.80000000 0.094588386304 Long EC CORP US N 1 N N N Keurig Dr Pepper Inc. DYTQ8KRTKO7Y2BVU5K74 Keurig Dr Pepper, Inc. 49271VAN0 90000.00000000 PA USD 88485.20000000 0.018954959440 Long DBT CORP US N 2 2031-03-15 Fixed 0.02250000 N N N N N N Bloomin' Brands, Inc. E1UJ2GO305B5FXGV7N04 Bloomin' Brands, Inc., Convertible 094235AA6 66000.00000000 PA USD 159307.50000000 0.034126240332 Long DBT CORP US N 2 2025-05-01 Fixed 0.05000000 N N N N Y Bloomin' Brands Inc Bloomin' Brands Inc USD XXXX N N N Banco Santander, S.A. SCRYQ25DTVRHYYMM6P89 Banco Santander Mexico SA 05969BAD5 17000.00000000 PA USD 19087.60000000 0.004088872306 Long DBT CORP MX N 2 2025-04-17 Fixed 0.05375000 N N N N N N Cohen & Steers, Inc. BOWRNZIYSSLA6IG2ST17 Cohen & Steers Quality Income Realty Fund, Inc. 19247L106 2379.00000000 NS USD 33115.68000000 0.007093913685 Long RF US N 1 N N N Northrop Grumman Corporation RIMU48P07456QXSO0R61 Northrop Grumman Corporation 666807102 1242.00000000 NS USD 401960.88000000 0.086106514729 Long EC CORP US N 1 N N N EXGEN RENEWABLES IV LLC 5493004JBPWTPTK8LB51 Exgen Renewables IV, LLC, Term Loan N/A 378262.50000000 PA USD 378421.37000000 0.081063971374 Long DBT CORP US N 2 2027-12-11 Floating 0.03750000 N N N N N N Cengage Learning, Inc. 549300BYGM0FWUSVXJ88 Cengage Learning, Inc., Term Loan N/A 340591.96000000 PA USD 336549.13000000 0.072094261062 Long DBT CORP US N 2 2023-06-07 Floating 0.05250000 N N N N N N Herc Holdings Inc. 549300TP80QLITMSBP82 Herc Holdings, Inc. 42704LAA2 60000.00000000 PA USD 63852.00000000 0.013678130017 Long DBT CORP US N 2 2027-07-15 Fixed 0.05500000 N N N N N N Charter Communications, Inc. N/A CCO Holdings, LLC 1248EPBT9 75000.00000000 PA USD 79298.63000000 0.016987047724 Long DBT CORP US N 2 2027-05-01 Fixed 0.05125000 N N N N N N Emerson Electric Co. FGLT0EWZSUIRRITFOA30 Emerson Electric Company 291011104 3518.00000000 NS USD 317393.96000000 0.067990914170 Long EC CORP US N 1 N N N Ovintiv Inc. N/A Ovintiv, Inc. 012873AK1 30000.00000000 PA USD 38159.83000000 0.008174452110 Long DBT CORP US N 2 2031-11-01 Fixed 0.07375000 N N N N N N Athene Global Funding 549300LM1QSI4MSIL320 Athene Global Funding 04685A2B6 60000.00000000 PA USD 61744.00000000 0.013226562359 Long DBT CORP US N 2 2022-01-25 Fixed 0.04000000 N N N N N N QuinStreet, Inc. 549300TP8MFBFPOS4Y78 QuinStreet, Inc. 74874Q100 17872.00000000 NS USD 362801.60000000 0.077717964281 Long EC CORP US N 1 N N N Amgen Inc. 62QBXGPJ34PQ72Z12S66 Amgen, Inc. 031162CU2 67000.00000000 PA USD 67464.04000000 0.014451887342 Long DBT CORP US N 2 2030-02-21 Fixed 0.02450000 N N N N N N PRPM Trust 2019-GS1 N/A Preston Ridge Partners Mortgage Trust, LLC 69359CAA3 344091.76000000 PA USD 346941.98000000 0.074320577443 Long ABS-CBDO CORP US N 2 2024-10-25 Variable 0.03500000 N N N N N N Deutsche Bank Aktiengesellschaft N/A Deutsche Alt-A Securities, Inc., Mortgage Loan Trust 251510EL3 191848.78600000 PA USD 194047.14000000 0.041568032487 Long ABS-CBDO CORP US N 2 2035-06-25 Fixed 0.05250000 N N N N N N OneMain Holdings, Inc. 5493008I795YYBFWFU90 Springleaf Finance Corporation 85172FAN9 100000.00000000 PA USD 115335.00000000 0.024706620396 Long DBT CORP US N 2 2026-03-15 Fixed 0.07125000 N N N N N N Computer Services, Inc. N/A Computer Services, Inc. 20539A105 4131.00000000 NS USD 243729.00000000 0.052210689578 Long EC CORP US N 1 N N N Wells Fargo & Company N/A Central Fidelity Capital Trust I 15346WAC4 135000.00000000 PA USD 128997.25000000 0.027633295078 Long DBT CORP US N 2 2027-04-15 Floating 0.01241300 N N N N N N Antler Mortgage Trust 2019-RTL 1 N/A Antler Mortgage Trust 03720BAA6 2404.16000000 PA USD 2404.91000000 0.000515170576 Long ABS-CBDO CORP US N 2 2022-06-27 Fixed 0.04458000 N N N N N N Globe Life Inc. 5493001JFHKQOPP6XA71 Torchmark Corporation 37959E102 1907.00000000 NS USD 184273.41000000 0.039474341613 Long EC CORP US N 1 N N N WESCO International, Inc. 549300I2CEZJG9N4AH67 WESCO Distribution, Inc. 95081QAP9 80000.00000000 PA USD 89311.60000000 0.019131987672 Long DBT CORP US N 2 2028-06-15 Fixed 0.07250000 N N N N N N T-Mobile US, Inc. 549300V2JRLO5DIFGE82 T-Mobile USA, Inc. 87264ABC8 68000.00000000 PA USD 74334.88000000 0.015923732278 Long DBT CORP US N 2 2027-04-15 Fixed 0.03750000 N N N N N N Cheniere Energy Partners, L.P. 5493005UEC8AZ34LDV29 Cheniere Energy Partners, LP 16411QAD3 165000.00000000 PA USD 172540.50000000 0.036960962730 Long DBT CORP US N 2 2026-10-01 Fixed 0.05625000 N N N N N N Sempra Energy PBBKGKLRK5S5C0Y4T545 Sempra Energy 816851BK4 84000.00000000 PA USD 89880.00000000 0.019253748135 Long DBT CORP US N 2 2025-10-15 Variable 0.04875000 N N N N N N Caterpillar Inc. EDBQKYOPJUCJKLOJDE72 Caterpillar Financial Services Corporation 14913Q3C1 48000.00000000 PA USD 49239.29000000 0.010547851446 Long DBT CORP US N 2 2022-11-18 Fixed 0.01950000 N N N N N N TransDigm Group Incorporated 88Q84GB3X55CF5OC7582 TransDigm, Inc. 893647BE6 50000.00000000 PA USD 53010.00000000 0.011355598449 Long DBT CORP US N 2 2026-03-15 Fixed 0.06250000 N N N N N N National Storage Affiliates Trust N/A National Storage Affiliates Trust 637870106 8122.00000000 NS USD 324311.46000000 0.069472754431 Long EC CORP US N 1 N N N Cargill, Incorporated QXZYQNMR4JZ5RIRN4T31 Cargill, Inc. 141781BL7 35000.00000000 PA USD 35719.11000000 0.007651610453 Long DBT CORP US N 2 2023-07-23 Fixed 0.01375000 N N N N N N Union Pacific Corporation 549300LMMRSZZCZ8CL11 Union Pacific Corporation 907818ES3 62000.00000000 PA USD 68102.68000000 0.014588694348 Long DBT CORP US N 2 2025-07-15 Fixed 0.03750000 N N N N N N COMMSCOPE INC 549300Z6K4JXMFE8QY54 CommScope, Inc., Term Loan N/A 901275.00000000 PA USD 894560.50000000 0.191629311961 Long DBT CORP US N 2 2026-04-04 Floating 0.03358500 N N N N N N MPH ACQUISITION HOLDINGS 5493002WXOPRPTXWTU06 MPH Acquisition Holdings, LLC, Term Loan N/A 1243926.20000000 PA USD 1236437.76000000 0.264864944553 Long DBT CORP US N 2 2023-06-07 Floating 0.03750000 N N N N N N MGM Growth Properties OP GP LLC N/A MGM Growth Properties Operating Partnership, LP 55303XAK1 90000.00000000 PA USD 94923.00000000 0.020334040212 Long DBT CORP US N 2 2025-06-15 Fixed 0.04625000 N N N N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie, Inc. 00287YBM0 68000.00000000 PA USD 69971.74000000 0.014989077198 Long DBT CORP US N 2 2022-11-21 Fixed 0.02300000 N N N N N N BlackRock, Inc. CC8M7XFKTNG56DXMAR33 BlackRock Core Bond Trust 09249E101 7369.00000000 NS USD 115693.30000000 0.024783374045 Long RF US N 1 N N N Legacy Mortgage Asset Trust 2020-GS4 N/A Legacy Mortgage Asset Trust 52474KAA1 271561.13000000 PA USD 274626.32000000 0.058829394711 Long ABS-CBDO CORP US N 2 2060-02-25 Variable 0.03250000 N N N N N N Lowe's Companies, Inc. WAFCR4OKGSC504WU3E95 Lowe's Companies, Inc. 548661DT1 31000.00000000 PA USD 34297.05000000 0.007346982226 Long DBT CORP US N 2 2025-04-15 Fixed 0.04000000 N N N N N N Cleveland-Cliffs Inc. 549300TM2WLI2BJMDD86 Cleveland-Cliffs, Inc. 185899AL5 40000.00000000 PA USD 39900.00000000 0.008547224639 Long DBT CORP US N 2 2031-03-01 Fixed 0.04875000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 6174468T9 34000.00000000 PA USD 34010.94000000 0.007285692841 Long DBT CORP US N 2 2023-11-10 Variable 0.00560000 N N N N N N FTI Consulting, Inc. 549300K17GM8EQD0FQ48 FTI Consulting, Inc., Convertible 302941AP4 146000.00000000 PA USD 212868.00000000 0.045599764776 Long DBT CORP US N 2 2023-08-15 Fixed 0.02000000 N N N N Y FTI Consulting Inc FTI Consulting Inc USD XXXX N N N Cheniere Energy, Inc. 549300I7CIEWU1BBLQ53 Cheniere Corpus Christi Holdings, LLC 16412XAC9 92000.00000000 PA USD 104839.52000000 0.022458319011 Long DBT CORP US N 2 2025-03-31 Fixed 0.05875000 N N N N N N CoBank, ACB P0J8I7M2E0A77CKF1705 Cobank ACB, 6.250% 19075Q805 2485.00000000 NS USD 261546.25000000 0.056027432391 Long EP CORP US N 1 N N N CIM Trust 2018 - R3 N/A CIM Trust 12553WAA3 216574.45000000 PA USD 229372.07000000 0.049135203216 Long ABS-CBDO CORP US N 2 2057-12-25 Variable 0.05000000 N N N N N N Global Net Lease, Inc. N/A Global Net Lease, Inc. 37892AAA8 75000.00000000 PA USD 73104.33000000 0.015660128587 Long DBT CORP US N 2 2027-12-15 Fixed 0.03750000 N N N N N N GMACM Mortgage Loan Trust 2005-AR2 N/A GMAC Mortgage Corporation Loan Trust 36185N6Q8 98350.83300000 PA USD 97966.71000000 0.020986052069 Long ABS-CBDO CORP US N 2 2035-05-25 Variable 0.03657400 N N N N N N UFP Technologies, Inc. 549300RJ8LY41HS70C91 UFP Technologies, Inc. 902673102 4747.00000000 NS USD 236495.54000000 0.050661165580 Long EC CORP US N 1 N N N 522 Funding CLO 2020-6 Ltd. N/A 522 Funding CLO, Ltd. 33835AAG4 225000.00000000 PA USD 225683.55000000 0.048345062639 Long ABS-O CORP KY N 2 2033-10-23 Floating 0.04051040 N N N N N N Sumitomo Mitsui Financial Group, Inc. 35380028MYWPB6AUO129 Sumitomo Mitsui Financial Group, Inc. 86562MAQ3 43000.00000000 PA USD 44271.42000000 0.009483653429 Long DBT CORP JP N 2 2022-07-12 Fixed 0.02784000 N N N N N N IQVIA Holdings Inc. 549300W3R20NM4KQPH86 IQVIA Holding, Inc. 46266C105 2036.00000000 NS USD 393233.04000000 0.084236870391 Long EC CORP US N 1 N N N Scientific Games Corporation RLTHESQ0RNFQJWPBJN60 Scientific Games International, Inc. 80874YBE9 80000.00000000 PA USD 86800.00000000 0.018593962374 Long DBT CORP US N 2 2029-11-15 Fixed 0.07250000 N N N N N N Charter Communications, Inc. N/A CCO Holdings, LLC 1248EPBR3 125000.00000000 PA USD 128912.50000000 0.027615140259 Long DBT CORP US N 2 2026-05-01 Fixed 0.05500000 N N N N N N Macy's, Inc. 529900NZQ81TIOW3CW52 Macy's, Inc. 55616P104 9571.00000000 NS USD 154954.49000000 0.033193755262 Long EC CORP US N 1 N N N XPLORNET COMMUNICATIONS 254900V3NB5MGOZS4O08 Xplornet Communications, Inc., Term Loan N/A 536783.30000000 PA USD 536364.61000000 0.114897965173 Long DBT CORP US N 2 2027-06-10 Floating 0.04858500 N N N N N N Starwood Mortgage Residential Trust 2020-2 N/A Starwood Mortgage Residential Trust 85573DAB5 250000.00000000 PA USD 260946.00000000 0.055898849143 Long ABS-CBDO CORP US N 2 2060-04-25 Variable 0.03970000 N N N N N N NuStar Energy L.P. N62BF2PKP51FIIOIUN20 NuStar Logistics, LP 67059TAG0 90000.00000000 PA USD 96346.80000000 0.020639041175 Long DBT CORP US N 2 2025-10-01 Fixed 0.05750000 N N N N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company 95000U2H5 68000.00000000 PA USD 71028.19000000 0.015215385856 Long DBT CORP US N 2 2025-10-30 Variable 0.02406000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GJD2 85000.00000000 PA USD 84740.72000000 0.018152831327 Long DBT CORP US N 2 2026-06-19 Variable 0.01319000 N N N N N N Volt XCVIII LLC N/A Vericrest Opportunity Loan Transferee 91835NAB5 250000.00000000 PA USD 252715.05000000 0.054135646671 Long ABS-MBS CORP US N 3 2051-04-25 Variable 0.04948700 N N N N N N Comcast Corporation 51M0QTTNCGUN7KFCFZ59 Comcast Corporation 20030NCR0 39000.00000000 PA USD 42592.99000000 0.009124106606 Long DBT CORP US N 2 2024-04-15 Fixed 0.03700000 N N N N N N MILEAGE PLUS HLDINGS LLC N/A Mileage Plus Holdings, LLC 599191AA1 70000.00000000 PA USD 76737.50000000 0.016438412300 Long DBT CORP US N 2 2027-06-20 Fixed 0.06500000 N N N N N N Federal Home Loan Banks Office of Finance 2549001DPIFGXC1TOL40 Federal Home Loan Bank Discount Notes 313385HV1 100000.00000000 PA USD 99991.92000000 0.021419884771 Long STIV USGSE US N 2 N N N Lennar Corporation 529900G61XVRLX5TJX09 Lennar Corporation 526057BY9 20000.00000000 PA USD 20310.00000000 0.004350730136 Long DBT CORP US N 2 2022-01-15 Fixed 0.04125000 N N N N N N PetSmart, Inc. N/A PetSmart, Inc. 71677KAB4 50000.00000000 PA USD 54122.50000000 0.011593913923 Long DBT CORP US N 2 2029-02-15 Fixed 0.07750000 N N N N N N Bank of America Corporation N/A CHL Mortgage Pass-Through Trust 126694MH8 209805.78100000 PA USD 184520.62000000 0.039527297989 Long ABS-CBDO CORP US N 2 2035-11-20 Variable 0.02716100 N N N N N N Rock Holdings Inc. N/A Quicken Loans, LLC 74841CAA9 60000.00000000 PA USD 57750.00000000 0.012370983031 Long DBT CORP US N 2 2029-03-01 Fixed 0.03625000 N N N N N N Dell Technologies Inc. N/A Dell International, LLC 24703DBB6 67000.00000000 PA USD 78108.13000000 0.016732023390 Long DBT CORP US N 2 2025-07-15 Fixed 0.05850000 N N N N N N NOURYON USA LLC 549300K7VB5G6LULFT41 Nouryon USA, LLC, Term Loan N/A 860915.68000000 PA USD 847106.59000000 0.181463917756 Long DBT CORP US N 2 2025-10-01 Floating 0.02860200 N N N N N N Medical Properties Trust, Inc. N/A MPT Operating Partnership, LP 55342UAJ3 30000.00000000 PA USD 31560.90000000 0.006760854689 Long DBT CORP US N 2 2029-08-01 Fixed 0.04625000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967HB0 85000.00000000 PA USD 98521.10000000 0.021104811364 Long DBT CORP US N 2 2025-09-13 Fixed 0.05500000 N N N N N N Cooper-Standard Holdings Inc. 549300VVOH2RQP5YMB08 Cooper-Standard Holdings, Inc. 21676P103 9070.00000000 NS USD 329422.40000000 0.070567600354 Long EC CORP US N 1 N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280CE7 39000.00000000 PA USD 40759.15000000 0.008731268450 Long DBT CORP GB N 2 2025-11-07 Variable 0.02633000 N N N N N N Volt LXXXVI LLC, Series 2020-NPL2 N/A Vericrest Opportunity Loan Trust 91834UAC8 175000.00000000 PA USD 173875.68000000 0.037246979857 Long ABS-O CORP US N 2 2050-02-25 Variable 0.04335700 N N N N N N Callaway Golf Company 5493005UB0KFRKBPCU72 Callaway Golf Company 131193104 4675.00000000 NS USD 125056.25000000 0.026789069206 Long EC CORP US N 1 N N N Banco Santander, S.A. 549300SMVCQN2P0O6I58 Santander Holdings USA, Inc. 80282KBB1 90000.00000000 PA USD 96448.62000000 0.020660852664 Long DBT CORP US N 2 2025-06-02 Fixed 0.03450000 N N N N N N United Rentals, Inc. NGIZXNT70J2LYT3FBI09 United Rentals North America, Inc. 911365BN3 60000.00000000 PA USD 61065.00000000 0.013081109589 Long DBT CORP US N 2 2030-07-15 Fixed 0.04000000 N N N N N N Teine Energy Ltd. 5493002EE80G6ER7SM91 Teine Energy, Ltd. 879068AB0 70000.00000000 PA USD 70847.00000000 0.015176572031 Long DBT CORP CA N 2 2029-04-15 Fixed 0.06875000 N N N N N N NiSource Inc. 549300D8GOWWH0SJB189 NiSource, Inc. 65473PAH8 45000.00000000 PA USD 46319.48000000 0.009922380971 Long DBT CORP US N 2 2029-09-01 Fixed 0.02950000 N N N N N N Dai-ichi Life Holdings, Inc. 3538001235ACEIORUV72 Dai-ichi Life Insurance Company, Ltd. 23380YAC1 238000.00000000 PA USD 263287.50000000 0.056400436273 Long DBT CORP JP N 2 2024-10-28 Variable 0.05100000 N N N N N Discover Financial Services Z1YLO2USPORE63VVUL20 Discover Financial Services 254709108 4037.00000000 NS USD 383474.63000000 0.082146461308 Long EC CORP US N 1 N N N Abbott Laboratories HQD377W2YR662HK5JX27 Abbott Laboratories 002824BM1 90000.00000000 PA USD 99822.40000000 0.021383570848 Long DBT CORP US N 2 2025-09-15 Fixed 0.03875000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 30-Yr. Pass Through 01F022642 2325000.00000000 PA USD 2385849.62000000 0.511087535303 Long ABS-MBS USGSE US N 2 2051-04-01 Fixed 0.02500000 N N N N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Notes 912828ZG8 1510000.00000000 PA USD 1514482.81000000 0.324426686465 Long DBT UST US N 2 2022-03-31 Fixed 0.00375000 N N N N N N Qurate Retail, Inc. 549300PSXEKU4PHLCR04 Qurate Retail, Inc. 74915M100 2927.00000000 NS USD 34421.52000000 0.007373645711 Long EC CORP US N 1 N N N Ball Corporation N/A Ball Corporation 058498106 4616.00000000 NS USD 391159.84000000 0.083792757455 Long EC CORP US N 1 N N N MGIC Investment Corporation 254900S8483WM4M98R28 MGIC Investment Corporation, Convertible 552848AB9 100000.00000000 PA USD 134250.00000000 0.028758518994 Long DBT CORP US N 2 2063-04-01 Fixed 0.09000000 N N N N N MGIC Investment Corp MGIC Investment Corp USD XXXX N N N Bristol-Myers Squibb Company HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Company 110122DE5 68000.00000000 PA USD 76492.83000000 0.016386000033 Long DBT CORP US N 2 2028-02-20 Fixed 0.03900000 N N N N N N Ortho-Clinical Diagnostics, Inc. N/A Ortho-Clinical Diagnostics, Inc. 68752DAA6 50000.00000000 PA USD 54783.00000000 0.011735403695 Long DBT CORP US N 2 2028-02-01 Fixed 0.07250000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 48128BAF8 46000.00000000 PA USD 47552.50000000 0.010186513776 Long DBT CORP US N 2 2024-08-01 Variable 0.05000000 N N N N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343VFS8 138000.00000000 PA USD 135050.16000000 0.028929926194 Long DBT CORP US N 2 2025-11-20 Fixed 0.00850000 N N N N N N Parker-Hannifin Corporation 5493002CONDB4N2HKI23 Parker-Hannifin Corporation 701094104 2181.00000000 NS USD 687952.83000000 0.147370611015 Long EC CORP US N 1 N N N Cox Enterprises, Inc. 5493001NEDZNIFRP2R92 Cox Communications, Inc. 224044CA3 51000.00000000 PA USD 53319.01000000 0.011421793384 Long DBT CORP US N 2 2023-06-30 Fixed 0.02950000 N N N N N N Regal Beloit Corporation QH78R09VCJGQKPBPYU33 Regal-Beloit Corporation 758750103 2139.00000000 NS USD 305192.52000000 0.065377168591 Long EC CORP US N 1 N N N Netflix, Inc. 549300Y7VHGU0I7CE873 Netflix, Inc. 64110LAL0 34000.00000000 PA USD 38972.50000000 0.008348539154 Long DBT CORP US N 2 2025-02-15 Fixed 0.05875000 N N N N N N Thrivent Mutual Funds N/A Thrivent Core Emerging Markets Debt Fund N/A 3037673.76530000 NS USD 29374305.31000000 6.292450779914 Long RF US N 2 N N N UNITI GROUP/CSL CAPITAL N/A Uniti Group, LP 91327BAA8 35000.00000000 PA USD 34562.50000000 0.007403845904 Long DBT CORP US N 2 2029-02-15 Fixed 0.06500000 N N N N N N Teleflex Incorporated UUL85LWXB4NGSWWXIQ25 Teleflex, Inc. 879369106 238.00000000 NS USD 98879.48000000 0.021181582150 Long EC CORP US N 1 N N N Consolidated Communications Holdings, Inc. 549300WW675Y48HDVX34 Consolidated Communications, Inc. 20903XAH6 40000.00000000 PA USD 40312.00000000 0.008635481696 Long DBT CORP US N 2 2028-10-01 Fixed 0.05000000 N N N N N N Primerica, Inc. 254900621R686KJR7022 Primerica, Inc. 74164M108 2349.00000000 NS USD 347229.18000000 0.074382100323 Long EC CORP US N 1 N N N Agilent Technologies, Inc. QUIX8Y7A2WP0XRMW7G29 Agilent Technologies, Inc 00846UAN1 45000.00000000 PA USD 43817.98000000 0.009386519256 Long DBT CORP US N 2 2031-03-12 Fixed 0.02300000 N N N N N N DaVita Inc. M2XHYMU3TZNEZURC6H66 DaVita, Inc. 23918KAS7 110000.00000000 PA USD 112074.60000000 0.024008190040 Long DBT CORP US N 2 2030-06-01 Fixed 0.04625000 N N N N N N W. R. Grace & Co. 5493003X5Z6TVAXIPW56 W. R. Grace & Company 38388F108 4728.00000000 NS USD 283018.08000000 0.060627045284 Long EC CORP US N 1 N N N EXPEDIA GROUP INC N/A Expedia Group, Inc., Convertible 30212PBD6 158000.00000000 PA USD 172457.00000000 0.036943075681 Long DBT CORP US N 2 2026-02-15 None 0.00000000 N N N N Y Expedia Group Inc Expedia Group Inc USD XXXX N N N Summit Hotel Properties, Inc. 254900OBQWJK6X20LS71 Summit Hotel Properties, Inc., Convertible 866082AA8 79000.00000000 PA USD 87048.13000000 0.018647115828 Long DBT CORP US N 2 2026-02-15 Fixed 0.01500000 N N N N N Summit Hotel Properties Inc Summit Hotel Properties Inc USD XXXX N N N Ritchie Bros. Auctioneers Incorporated 5493002H8U24DJXQ4886 Ritchie Brothers Auctioneers, Inc. 767744105 2711.00000000 NS USD 158729.05000000 0.034002326997 Long EC CORP CA N 1 N N N The Kraft Heinz Company 5493003STKEZ2S0RNU91 Kraft Heinz Foods Company 50077LBF2 50000.00000000 PA USD 55046.82000000 0.011791918201 Long DBT CORP US N 2 2031-03-01 Fixed 0.04250000 N N N N N N Antler Mortgage Trust 2018 - RTL 1 N/A Antler Mortgage Trust 03719KAA9 168029.48000000 PA USD 168327.97000000 0.036058570745 Long ABS-CBDO CORP US N 2 2022-07-25 Fixed 0.04335000 N N N N N N QUALCOMM Incorporated H1J8DDZKZP6H7RWC0H53 QUALCOMM, Inc. 747525103 9005.00000000 NS USD 1193972.95000000 0.255768296173 Long EC CORP US N 1 N N N ALTICE FRANCE SA 5493001ZMCICV4N02J21 Altice France SA, Term Loan N/A 336875.00000000 PA USD 329955.59000000 0.070681818266 Long DBT CORP FR N 2 2025-07-31 Floating 0.02858500 N N N N N N iStar Inc. QFFLKWYYS3UPWD86E794 iStar, Inc., Convertible 45031UCB5 76000.00000000 PA USD 100130.00000000 0.021449463738 Long DBT CORP US N 2 2022-09-15 Fixed 0.03125000 N N N N N iStar Inc iStar Inc USD XXXX N N N Carpenter Technology Corporation DX6I6ZD3X5WNNCDJKP85 Carpenter Technology Corporation 144285103 9040.00000000 NS USD 371996.00000000 0.079687553309 Long EC CORP US N 1 N N N Thermo Fisher Scientific Inc. HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific, Inc. 883556CF7 31000.00000000 PA USD 34423.84000000 0.007374142692 Long DBT CORP US N 2 2025-03-25 Fixed 0.04133000 N N N N N N Western Midstream Partners, LP L6D8A6MLSY454J2JXJ60 Western Gas Partners, LP 958254AB0 44000.00000000 PA USD 45101.10000000 0.009661384290 Long DBT CORP US N 2 2022-07-01 Fixed 0.04000000 N N N N N N KB Home 549300LGUCWQURMWLG09 KB Home 48666KAY5 80000.00000000 PA USD 83800.00000000 0.017951313904 Long DBT CORP US N 2 2029-11-15 Fixed 0.04800000 N N N N N N Centene Corporation 549300Z7JJ4TQSQGT333 Centene Corporation 15135BAT8 20000.00000000 PA USD 21646.10000000 0.004636944342 Long DBT CORP US N 2 2029-12-15 Fixed 0.04625000 N N N N N N Carnival Corporation & plc F1OF2ZSX47CR0BCWA982 Carnival Corporation 143658BC5 70000.00000000 PA USD 80237.50000000 0.017188168847 Long DBT CORP PA N 2 2023-04-01 Fixed 0.11500000 N N N N N N Western Digital Corporation 549300QQXOOYEF89IC56 Western Digital Corporation 958102105 809.00000000 NS USD 54000.75000000 0.011567833106 Long EC CORP US N 1 N N N Morgan Stanley & Co N/A Ultra 10-Yr. U.S. Treasury Note N/A -7.00000000 NC USD 37547.79000000 0.008043343254 N/A DIR CORP US N 1 CCM Futures, LLC N/A Short United States Department of The Treasury United States Treasury Note/Bond 2021-06-22 -1043360.29000000 USD 37547.79000000 N N N NextEra Energy, Inc. A89MY1K3YLIGJMYWVX50 Florida Power & Light Company 341081FZ5 31000.00000000 PA USD 33087.01000000 0.007087772108 Long DBT CORP US N 2 2025-04-01 Fixed 0.02850000 N N N N N N Schlumberger Limited 529900IKZG65COT1D505 Schlumberger Holdings Corporation 806851AH4 29000.00000000 PA USD 32220.48000000 0.006902147382 Long DBT CORP US N 2 2029-05-01 Fixed 0.04300000 N N N N N N Novo Nordisk A/S 549300DAQ1CVT6CXN342 Novo Nordisk AS ADR 670100205 4424.00000000 NS USD 298266.08000000 0.063893413236 Long EC CORP DK N 1 N N N Workiva Inc. 529900RTOQ8GRWHY1O58 Workiva, Inc. 98139A105 2923.00000000 NS USD 257983.98000000 0.055264336603 Long EC CORP US N 1 N N N Vistra Energy Corp. 549300ZH5GKBTJZ7NM23 Vistra Operations Company, LLC 92840VAF9 90000.00000000 PA USD 92701.80000000 0.019858223285 Long DBT CORP US N 2 2027-07-31 Fixed 0.05000000 N N N N N N AvalonBay Communities, Inc. K9G90K85RBWD2LAGQX17 AvalonBay Communities, Inc. 053484101 1348.00000000 NS USD 248719.48000000 0.053279731023 Long EC CORP US N 1 N N N RH 5493008MTS3OGGMHGK69 RH 74967X103 508.00000000 NS USD 303072.80000000 0.064923090320 Long EC CORP US N 1 N N N Overstock.com, Inc. 549300ACR0DL9U7EI710 Overstock.com, Inc. 690370101 1813.00000000 NS USD 120129.38000000 0.025733654052 Long EC CORP US N 1 N N N Tyler Technologies, Inc. 25490040SMU4Z8LBCW70 Tyler Technologies, Inc. 902252105 142.00000000 NS USD 60283.26000000 0.012913648251 Long EC CORP US N 1 N N N TRUCK HERO INC 54930007KT5CX7XNSD31 Truck Hero, Inc., Term Loan N/A 115000.00000000 PA USD 114633.15000000 0.024556272787 Long DBT CORP US N 2 2028-02-24 Floating 0.04500000 N N N N N N T-Mobile US, Inc. 549300V2JRLO5DIFGE82 T-Mobile USA, Inc. 87264ABT1 55000.00000000 PA USD 53157.50000000 0.011387195332 Long DBT CORP US N 2 2031-02-15 Fixed 0.02875000 N N N N N N Brookfield Residential Properties Inc. N/A Brookfield Residential Properties, Inc. 11283YAB6 150000.00000000 PA USD 156562.50000000 0.033538216983 Long DBT CORP CA N 2 2027-09-15 Fixed 0.06250000 N N N N N N Marsh & McLennan Companies, Inc. 549300XMP3KDCKJXIU47 Marsh & McLennan Companies, Inc. 571748102 2779.00000000 NS USD 338482.20000000 0.072508355887 Long EC CORP US N 1 N N N Morgan Stanley & Co N/A CME Ultra Long Term U.S. Treasury Bond N/A 11.00000000 NC USD -92999.09000000 -0.01992190760 N/A DIR CORP US N 1 Morgan Stanley & Company N/A Long United States Department of The Treasury United States Treasury Note/Bond 2021-06-22 2086405.34000000 USD -92999.09000000 N N N TTWF LP GOXNEVUM0LL78B1OS344 Westlake Chemical Corporation 960413AT9 45000.00000000 PA USD 48641.53000000 0.010419801597 Long DBT CORP US N 2 2026-08-15 Fixed 0.03600000 N N N N N N Community Healthcare Trust Incorporated 549300FATSRCMKOV9536 Community Healthcare Trust, Inc. 20369C106 40.00000000 NS USD 1844.80000000 0.000395185965 Long EC CORP US N 1 N N N BFLD Trust 2020-EYP N/A BFLD Trust 05493AAG5 225000.00000000 PA USD 227250.36000000 0.048680698655 Long ABS-MBS CORP US N 2 2035-10-15 Floating 0.01806000 N N N N N N Zurich Insurance Group AG 529900QVNRBND50TXP03 Zurich Insurance Group AG 001107539 1124.00000000 NS 478432.40000000 0.102487949816 Long EC CORP CH N 2 N N N Credit Suisse Group AG ANGGYXNX0JLX3X63JN86 Credit Suisse Group AG 22546DAA4 49000.00000000 PA USD 53887.75000000 0.011543626681 Long DBT CORP CH N 2 2023-08-08 Fixed 0.06500000 N N N N N N 1011778 BC ULC 549300RHSHNRWI5LLA86 1011778 B.C., LLC, Term Loan N/A 815862.08000000 PA USD 800311.75000000 0.171439706992 Long DBT CORP US N 2 2026-11-19 Floating 0.01858500 N N N N N N ASURION LLC 549300KNQVXGIOXWK278 Asurion, LLC, Term Loan N/A 440000.00000000 PA USD 447700.00000000 0.095904573212 Long DBT CORP US N 2 2028-02-03 Floating 0.05358500 N N N N N N Hanesbrands Inc. GX5LWVWZLL5S4W1L2F20 Hanesbrands, Inc. 410345AL6 100000.00000000 PA USD 107250.00000000 0.022974682772 Long DBT CORP US N 2 2026-05-15 Fixed 0.04875000 N N N N N N Twitter, Inc. 549300I8RX485XMK6836 Twitter, Inc. 90184L102 16101.00000000 NS USD 1024506.63000000 0.219465872466 Long EC CORP US N 1 N N N VICI Properties Inc. N/A VICI Properties, LP 92564RAB1 50000.00000000 PA USD 51868.00000000 0.011110963599 Long DBT CORP US N 2 2029-12-01 Fixed 0.04625000 N N N N N N LUMMUS TECHNOLOGY HOLDINGS 549300K1Y0YC1YC1H809 Lummus Technology Holdings V, LLC, Term Loan N/A 340000.00000000 PA USD 338157.20000000 0.072438735637 Long DBT CORP US N 2 2027-06-30 Floating 0.03608500 N N N N N N Alphabet Inc. 5493006MHB84DD0ZWV18 Alphabet, Inc., Class A 02079K305 1803.00000000 NS USD 3718723.56000000 0.796610667672 Long EC CORP US N 1 N N N Texas Instruments Incorporated WDJNR2L6D8RWOEB8T652 Texas Instruments, Inc. 882508104 7765.00000000 NS USD 1467507.35000000 0.314363783980 Long EC CORP US N 1 N N N Air Products and Chemicals, Inc. 7QEON6Y1RL5XR3R1W237 Air Products and Chemicals, Inc. 009158BB1 17000.00000000 PA USD 17247.01000000 0.003694588191 Long DBT CORP US N 2 2025-10-15 Fixed 0.01500000 N N N N N N Zoetis Inc. 549300HD9Q1LOC9KLJ48 Zoetis, Inc. 98978V103 4978.00000000 NS USD 783935.44000000 0.167931636808 Long EC CORP US N 1 N N N General Motors Company 5493008B6JBRUJ90QL97 General Motors Financial Company, Inc. 37045XCX2 35000.00000000 PA USD 36536.61000000 0.007826732161 Long DBT CORP US N 2 2025-06-20 Fixed 0.02750000 N N N N N N Weatherford International plc 549300A2JKMG5PGOGF82 Weatherford International, Ltd. 947075AR8 80000.00000000 PA USD 83688.00000000 0.017927321695 Long DBT CORP BM N 2 2024-09-01 Fixed 0.08750000 N N N N N N Live Nation Entertainment, Inc. 5493007B9BM9ZXJINO78 Live Nation Entertainment, Inc. 538034AX7 50000.00000000 PA USD 49312.50000000 0.010563534211 Long DBT CORP US N 2 2028-01-15 Fixed 0.03750000 N N N N N N Freeport-McMoRan Inc. 549300IRDTHJQ1PVET45 Freeport-McMoRan, Inc. 35671DCF0 90000.00000000 PA USD 95850.00000000 0.020532618589 Long DBT CORP US N 2 2030-03-01 Fixed 0.04250000 N N N N N N General Motors Company 54930070NSV60J38I987 General Motors Company 37045VAU4 67000.00000000 PA USD 83117.69000000 0.017805152079 Long DBT CORP US N 2 2027-10-01 Fixed 0.06800000 N N N N N N The Estee Lauder Companies Inc. 549300VFZ8XJ9NUPU221 Estee Lauder Companies, Inc. 29736RAR1 45000.00000000 PA USD 43610.84000000 0.009342146521 Long DBT CORP US N 2 2031-03-15 Fixed 0.01950000 N N N N N N Anheuser-Busch InBev SA/NV N/A Anheuser-Busch Companies, LLC 03522AAG5 35000.00000000 PA USD 38482.14000000 0.008243496120 Long DBT CORP US N 2 2026-02-01 Fixed 0.03650000 N N N N N N The Royal Bank of Scotland Group plc 2138005O9XJIJN4JPN90 Royal Bank of Scotland Group plc 780097BK6 65000.00000000 PA USD 70906.54000000 0.015189326461 Long DBT CORP GB N 2 2025-03-22 Variable 0.04269000 N N N N N N F.N.B. Corporation PCYSKIGYNYFDTBLVZU83 F.N.B. Corporation 302520101 2815.00000000 NS USD 35750.50000000 0.007658334698 Long EC CORP US N 1 N N N Prudential Financial, Inc. P63V0W84H2Z3IOKHSM44 PGIM High Yield Bond Fund, Inc. 69346H100 4642.00000000 NS USD 72693.72000000 0.015572169291 Long RF US N 1 N N N Analog Devices, Inc. GYVOE5EZ4GDAVTU4CQ61 Analog Devices, Inc. 032654105 412.00000000 NS USD 63892.96000000 0.013686904311 Long EC CORP US N 1 N N N Caterpillar Inc. EDBQKYOPJUCJKLOJDE72 Caterpillar Financial Services Corporation 14913R2C0 35000.00000000 PA USD 35477.35000000 0.007599821555 Long DBT CORP US N 2 2025-05-15 Fixed 0.01450000 N N N N N N PPL Corporation 549300MROK5WY0D2NU17 PPL Capital Funding, Inc. 69352PAQ6 45000.00000000 PA USD 50577.06000000 0.010834423394 Long DBT CORP US N 2 2030-04-15 Fixed 0.04125000 N N N N N N Navient Corporation 54930067J0ZNOEBRW338 Navient Corporation 63938C108 2399.00000000 NS USD 34329.69000000 0.007353974241 Long EC CORP US N 1 N N N Synovus Financial Corp. 549300EIUS8UN5JTLE54 Synovus Financial Corporation, 5.875% 87161C709 775.00000000 NS USD 20832.00000000 0.004462550969 Long EP CORP US N 1 N N N Service Properties Trust 529900IS770AG1K9QG27 Service Properties Trust 44106MBA9 20000.00000000 PA USD 19500.00000000 0.004177215049 Long DBT CORP US N 2 2026-10-01 Fixed 0.04750000 N N N N N N Golden Entertainment, Inc. 549300P8YYCKQVJ0Y638 Golden Entertainment, Inc., Term Loan N/A 1037550.00000000 PA USD 1021986.75000000 0.218926073458 Long DBT CORP US N 2 2024-10-20 Floating 0.03750000 N N N N N N Encore Wire Corporation N/A Encore Wire Corporation 292562105 1705.00000000 NS USD 114456.65000000 0.024518463635 Long EC CORP US N 1 N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 6174468J1 34000.00000000 PA USD 35867.24000000 0.007683342292 Long DBT CORP US N 2 2025-07-22 Variable 0.02720000 N N N N N N EQT Corporation 4NT01YGM4X7ZX86ISY52 EQT Corporation, Convertible 26884LAJ8 117000.00000000 PA USD 171849.60000000 0.036812960787 Long DBT CORP US N 2 2026-05-01 Fixed 0.01750000 N N N N Y EQT Corp EQT Corp USD XXXX N N N Steel Dynamics, Inc. 549300HGGKEL4FYTTQ83 Steel Dynamics, Inc. 858119100 7618.00000000 NS USD 386689.68000000 0.082835176962 Long EC CORP US N 1 N N N Raytheon Technologies Corporation I07WOS4YJ0N7YRFE7309 Raytheon Technologies Corporation 75513E101 5214.00000000 NS USD 402885.78000000 0.086304643252 Long EC CORP US N 1 N N N COMMONWEALTH BANK AUST MSFSBD3QN1GSN7Q6C537 Commonwealth Bank of Australia 202712BN4 54000.00000000 PA USD 52434.54000000 0.011232325620 Long DBT CORP AU N 2 2031-03-11 Fixed 0.02688000 N N N N N N Verus Securitization Trust 2019-2 N/A Verus Securitization Trust 92537GAC7 271149.02000000 PA USD 271715.86000000 0.058205927157 Long ABS-CBDO CORP US N 2 2059-05-25 Variable 0.03345000 N N N N N N NextEra Energy Partners, LP 5493008F4ZOQFNG3WN54 NextEra Energy Partners, LP, Convertible 65341BAD8 136000.00000000 PA USD 145775.00000000 0.031227360196 Long DBT CORP US N 2 2025-11-15 None 0.00000000 N N N N N NextEra Energy Partners LP NextEra Energy Partners LP USD XXXX N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 6174468Q5 69000.00000000 PA USD 71293.02000000 0.015272116721 Long DBT CORP US N 2 2026-04-28 Variable 0.02188000 N N N N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38141GXJ8 31000.00000000 PA USD 33585.79000000 0.007194618842 Long DBT CORP US N 2 2025-04-01 Fixed 0.03500000 N N N N N N Altra Industrial Motion Corp. NQ0NIXPGW4YKG4MWM571 Altra Industrial Motion Corporation 02208R106 9978.00000000 NS USD 551982.96000000 0.118243668079 Long EC CORP US N 1 N N N Panasonic Corporation 254900GE1G59KGWPHX32 Panasonic Corporation 69832AAA4 53000.00000000 PA USD 54240.88000000 0.011619272832 Long DBT CORP JP N 2 2022-07-19 Fixed 0.02536000 N N N N N N CARRIER GLOBAL CORP 549300JE3W6CWY2NAN77 Carrier Global Corporation 14448CAQ7 67000.00000000 PA USD 67609.24000000 0.014482991528 Long DBT CORP US N 2 2030-02-15 Fixed 0.02722000 N N N N N N Cengage Learning Holdings II, Inc. 549300BYGM0FWUSVXJ88 Cengage Learning, Inc. 15137NAA1 100000.00000000 PA USD 101875.00000000 0.021823270931 Long DBT CORP US N 2 2024-06-15 Fixed 0.09500000 N N N N N N TRICORBRAUN HOLDINGS INC 2549009AB5YVVW5J1U62 TricorBraun Holdings, Inc., Delayed Draw N/A 113848.64000000 PA USD 112662.34000000 0.024134093443 Long DBT CORP US N 2 2028-03-03 Floating 0.00000000 N N N N N N Tenet Healthcare Corporation 0W9AIBT6U6ADJ2I8HK17 Tenet Healthcare Corporation 88033GDJ6 35000.00000000 PA USD 36531.25000000 0.007825583962 Long DBT CORP US N 2 2028-10-01 Fixed 0.06125000 N N N N N N AVOLON HOLDINGS FNDG LTD 635400ZRKEX9L1BKCH30 Avolon Holdings Funding, Ltd. 05401AAL5 49000.00000000 PA USD 51323.41000000 0.010994303622 Long DBT CORP KY N 2 2026-04-15 Fixed 0.04250000 N N N N N N Cincinnati Financial Corporation 254900Q4WEDMZBOZ0002 Cincinnati Financial Corporation 172062101 1497.00000000 NS USD 154325.73000000 0.033059064711 Long EC CORP US N 1 N N N BP plc 5493009NTB34VXE1T760 BP Capital Markets America, Inc. 10373QBA7 58000.00000000 PA USD 59642.38000000 0.012776361401 Long DBT CORP US N 2 2022-09-19 Fixed 0.02520000 N N N N N N Bank of America Corporation N/A Countrywide Alternative Loan Trust 02147RAQ3 259871.50500000 PA USD 135947.85000000 0.029122225895 Long ABS-CBDO CORP US N 2 2036-08-25 Fixed 0.06500000 N N N N N N First Horizon Corporation COOWI3L2W9TPYR3WJX37 First Horizon Bank, 3.750% 337158208 140.00000000 NS USD 116200.00000000 0.024891917371 Long EP CORP US N 2 N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company 949746101 30689.00000000 NS USD 1199019.23000000 0.256849290879 Long EC CORP US N 1 N N N Conagra Brands, Inc. 54930035UDEIH090K650 Conagra Brands, Inc. 205887CA8 37000.00000000 PA USD 40800.10000000 0.008740040602 Long DBT CORP US N 2 2024-05-01 Fixed 0.04300000 N N N N N N Ford Motor Company 20S05OYHG0MQM4VUIC57 Ford Motor Company 345370CX6 20000.00000000 PA USD 27910.80000000 0.005978944297 Long DBT CORP US N 2 2030-04-22 Fixed 0.09625000 N N N N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company 94974BFN5 70000.00000000 PA USD 75727.78000000 0.016222113962 Long DBT CORP US N 2 2023-08-15 Fixed 0.04125000 N N N N N N Veeva Systems Inc. 549300YZEXPDB92M2F02 Veeva Systems, Inc. 922475108 1830.00000000 NS USD 478069.20000000 0.102410146508 Long EC CORP US N 1 N N N MGM Resorts International 54930066VBP7DZEGGJ87 MGM Resorts International 552953CE9 122000.00000000 PA USD 132980.00000000 0.028486464475 Long DBT CORP US N 2 2025-06-15 Fixed 0.05750000 N N N N N N Marriott International, Inc. 225YDZ14ZO8E1TXUSU86 Marriott International, Inc. 571903AP8 69000.00000000 PA USD 73702.91000000 0.015788354094 Long DBT CORP US N 2 2025-10-01 Fixed 0.03750000 N N N N N N Axcelis Technologies, Inc. 529900HF9B6NL1QG9F05 Axcelis Technologies, Inc. 054540208 4141.00000000 NS USD 170153.69000000 0.036449669466 Long EC CORP US N 1 N N N AECOM 0EEB8GF0W0NPCIHZX097 AECOM 00774CAB3 160000.00000000 PA USD 174100.00000000 0.037295032826 Long DBT CORP US N 2 2027-03-15 Fixed 0.05125000 N N N N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599DZ5 25000.00000000 PA USD 29625.00000000 0.006346153632 Long DBT CORP US N 2 2027-07-15 Fixed 0.08500000 N N N N N N Columbia Banking System, Inc. N/A Columbia Banking System, Inc. 197236102 9647.00000000 NS USD 415689.23000000 0.089047349100 Long EC CORP US N 1 N N N Abbott Laboratories HQD377W2YR662HK5JX27 Abbott Laboratories 002824100 2558.00000000 NS USD 306550.72000000 0.065668116974 Long EC CORP US N 1 N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Notes 91282CBQ3 1590000.00000000 PA USD 1558945.31000000 0.333951272318 Long DBT UST US N 2 2026-02-28 Fixed 0.00500000 N N N N N N Porsche Automobil Holding SE 5493002SQ1AVQBY41K40 Volkswagen Group of America Finance, LLC 928668AR3 62000.00000000 PA USD 67380.95000000 0.014434088122 Long DBT CORP US N 2 2023-11-13 Fixed 0.04250000 N N N N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company, Convertible, 7.500% 949746804 328.00000000 NS USD 464910.48000000 0.099591336087 Long EP CORP US N 1 N N N Tactile Systems Technology, Inc. 54930069VDTITHOTKJ98 Tactile Systems Technology, Inc. 87357P100 4927.00000000 NS USD 268472.23000000 0.057511089206 Long EC CORP US N 1 N N N PDC Energy, Inc. 5493008W8H2T511J5Y59 PDC Energy, Inc., Convertible 69327RAD3 9000.00000000 PA USD 8921.25000000 0.001911075885 Long DBT CORP US N 2 2021-09-15 Fixed 0.01125000 N N N N Y PDC Energy Inc PDC Energy Inc USD XXXX N N N NextEra Energy Partners, LP 549300KJEC5IUVJWR786 NextEra Energy Operating Partners, LP 65342QAL6 100000.00000000 PA USD 104875.00000000 0.022465919400 Long DBT CORP US N 2 2026-10-15 Fixed 0.03875000 N N N N N N Equitrans Midstream Corporation 549300NELT611CL6XM83 EQM Midstream Partners, LP 26885BAH3 80000.00000000 PA USD 86980.00000000 0.018632521282 Long DBT CORP US N 2 2027-07-01 Fixed 0.06500000 N N N N N N PPG Industries, Inc. 549300BKPEP01R3V6C59 PPG Industries, Inc. 693506107 52.00000000 NS USD 7813.52000000 0.001673782222 Long EC CORP US N 1 N N N Royal Caribbean Cruises Ltd. K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises, Ltd. 780153AZ5 40000.00000000 PA USD 46650.00000000 0.009993183695 Long DBT CORP LR N 2 2025-06-01 Fixed 0.11500000 N N N N N N J2 Global, Inc. 5493008OJYGLHD7MXA18 J2 Global, Inc., Convertible 48123VAC6 91000.00000000 PA USD 160899.38000000 0.034467246747 Long DBT CORP US N 2 2029-06-15 Fixed 0.03250000 N N N N Y J2 Global Inc J2 Global Inc USD XXXX N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 30-Yr. Pass Through 01F020653 3725000.00000000 PA USD 3711176.79000000 0.794994027609 Long ABS-MBS USGSE US N 2 2051-05-01 Fixed 0.02000000 N N N N N N TRICORBRAUN HOLDINGS INC 2549009AB5YVVW5J1U62 TricorBraun Holdings, Inc., Term Loan N/A 506152.10000000 PA USD 500878.00000000 0.107296159976 Long DBT CORP US N 2 2028-03-03 Floating 0.00000000 N N N N N N The Greenbrier Companies, Inc. 5493001GAGGFR30BP390 Greenbrier Companies, Inc., Convertible 393657AK7 47000.00000000 PA USD 51112.50000000 0.010949123293 Long DBT CORP US N 2 2024-02-01 Fixed 0.02875000 N N N N Y Greenbrier Cos Inc/The Greenbrier Cos Inc/The USD XXXX N N N Enterprise Products Partners L.P. K4CDIF4M54DJZ6TB4Q48 Enterprise Products Partners, LP 293792107 14891.00000000 NS USD 327899.82000000 0.070241439118 Long EC CORP US N 1 N N N Sysco Corporation 5RGWIFLMGH3YS7KWI652 Sysco Corporation 871829BL0 45000.00000000 PA USD 56231.00000000 0.012045588689 Long DBT CORP US N 2 2030-04-01 Fixed 0.05950000 N N N N N N Bank of Marin Bancorp N/A Bank of Marin Bancorp 063425102 308.00000000 NS USD 12061.28000000 0.002583721042 Long EC CORP US N 1 N N N Healthcare Realty Trust Incorporated 549300CB86LH2IOKHH22 Healthcare Realty Trust, Inc. 421946104 2854.00000000 NS USD 86533.28000000 0.018536826640 Long EC CORP US N 1 N N N Murphy Oil Corporation QBKYQD0ODE7DC7PDIN91 Murphy Oil Corporation 626717AM4 50000.00000000 PA USD 49000.00000000 0.010496591662 Long DBT CORP US N 2 2027-12-01 Fixed 0.05875000 N N N N N N General Motors Company 54930070NSV60J38I987 General Motors Company 37045VAV2 31000.00000000 PA USD 36453.16000000 0.007808855823 Long DBT CORP US N 2 2025-10-01 Fixed 0.06125000 N N N N N N Sumitomo Mitsui Financial Group, Inc. 35380028MYWPB6AUO129 Sumitomo Mitsui Financial Group, Inc. 86562MAY6 67000.00000000 PA USD 72489.48000000 0.015528417783 Long DBT CORP JP N 2 2028-01-17 Fixed 0.03544000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 15-Yr. Pass Through 01F020455 3260000.00000000 PA USD 3341539.80000000 0.715811812355 Long ABS-MBS USGSE US N 2 2036-05-01 Fixed 0.02000000 N N N N N N GEMINI HDPE LLC N/A Gemini HDPE, LLC, Term Loan N/A 520000.00000000 PA USD 517077.60000000 0.110766376023 Long DBT CORP US N 2 2027-12-31 Floating 0.03500000 N N N N N N BlackRock, Inc. 549300JU1XG1HF56J989 BlackRock TCP Capital Corporation 09259E108 2800.00000000 NS USD 38724.00000000 0.008295306439 Long EC CORP US N 1 N N N The Allstate Corporation OBT0W1ED8G0NWVOLOJ77 Allstate Corporation, 5.100% 020002838 5700.00000000 NS USD 153957.00000000 0.032980076788 Long EP CORP US N 1 N N N Credit Suisse Group AG 549300506SI9CRFV9Z86 Credit Suisse Group AG 225401AM0 34000.00000000 PA USD 35257.22000000 0.007552666153 Long DBT CORP CH N 2 2025-09-11 Variable 0.02593000 N N N N N N Global Payments Inc. 549300NOMHGVQBX6S778 Global Payments, Inc. 37940XAB8 45000.00000000 PA USD 47394.51000000 0.010152669765 Long DBT CORP US N 2 2029-08-15 Fixed 0.03200000 N N N N N N The Kraft Heinz Company 5493003STKEZ2S0RNU91 Kraft Heinz Foods Company 50077LAT3 120000.00000000 PA USD 134679.96000000 0.028850623372 Long DBT CORP US N 2 2029-01-30 Fixed 0.04625000 N N N N N N Vishay Intertechnology, Inc. 5493009O8F3QQJTCQR75 Vishay Intertechnology, Inc., Convertible 928298AP3 130000.00000000 PA USD 141375.00000000 0.030284809108 Long DBT CORP US N 2 2025-06-15 Fixed 0.02250000 N N N N Y Vishay Intertechnology Inc Vishay Intertechnology Inc USD XXXX N N N Seacoast Banking Corporation of Florida 549300V6IC06XYQYPG88 Seacoast Banking Corporation of Florida 811707801 8414.00000000 NS USD 304923.36000000 0.065319510170 Long EC CORP US N 1 N N N CARNIVAL CORP F1OF2ZSX47CR0BCWA982 Carnival Corporation, Term Loan N/A 348245.62000000 PA USD 358692.99000000 0.076837833639 Long DBT CORP US N 2 2025-06-30 Floating 0.08500000 N N N N N N T-Mobile US, Inc. 549300V2JRLO5DIFGE82 T-Mobile USA, Inc. 87264ABA2 52000.00000000 PA USD 56101.76000000 0.012017903393 Long DBT CORP US N 2 2025-04-15 Fixed 0.03500000 N N N N N N The Hartford Financial Services Group, Inc. IU7C3FTM7Y3BQM112U94 Hartford Financial Services Group, Inc. 416515BE3 45000.00000000 PA USD 46680.41000000 0.009999698008 Long DBT CORP US N 2 2029-08-19 Fixed 0.02800000 N N N N N N Gartner, Inc. PP55B5R38BFB8O8HH686 Gartner, Inc. 366651AC1 20000.00000000 PA USD 20625.00000000 0.004418208225 Long DBT CORP US N 2 2028-07-01 Fixed 0.04500000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136A66D1 613562.76000000 PA USD 29217.37000000 0.006258832701 Long ABS-CBDO USGSE US N 2 2027-07-25 Fixed 0.03000000 N N N N N N Helmerich & Payne, Inc. 254900NAOGHJ88RZ4C73 Helmerich & Payne, Inc. 423452101 12821.00000000 NS USD 345654.16000000 0.074044705592 Long EC CORP US N 1 N N N Under Armour, Inc. 549300D4549QKWETZ406 Under Armour, Inc., Class C 904311206 19010.00000000 NS USD 350924.60000000 0.075173718992 Long EC CORP US N 1 N N N Tokyo Century Corporation 549300ODEK8HY3445C77 Aviation Capital Group, LLC 05369AAH4 46000.00000000 PA USD 51434.44000000 0.011018088042 Long DBT CORP US N 2 2024-12-15 Fixed 0.05500000 N N N N N N EXELON CORP 3SOUA6IRML7435B56G12 Exelon Corporation 30161NAX9 45000.00000000 PA USD 50142.57000000 0.010741348616 Long DBT CORP US N 2 2030-04-15 Fixed 0.04050000 N N N N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280AT6 20000.00000000 PA USD 22040.00000000 0.004721324086 Long DBT CORP GB N 2 2025-03-30 Variable 0.06375000 N N N N N N The Bank of New York Mellon Corporation WFLLPEPC7FZXENRZV188 Bank of New York Mellon Corporation 064058AH3 42000.00000000 PA USD 45504.90000000 0.009747884774 Long DBT CORP US N 2 2025-09-20 Variable 0.04700000 N N N N N N Air Canada 2015-1 Pass Through Trusts N/A Air Canada Pass Through Trust 009090AB7 14642.97000000 PA USD 14620.31000000 0.003131906613 Long DBT CORP CA N 2 2023-03-15 Fixed 0.03875000 N N N N N N Qurate Retail, Inc. 549300SZUIU7Z32Q0664 Liberty Interactive, LLC, Convertible 530715AN1 118000.00000000 PA USD 117410.00000000 0.025151118920 Long DBT CORP US N 2 2031-01-15 Fixed 0.03500000 N N N N N Motorola Solutions Inc Motorola Solutions Inc USD XXXX N N N CommScope Holding Company, Inc. M4TWC4QDOKW45N7T6Y12 CommScope Technologies Finance, LLC 20337YAA5 120000.00000000 PA USD 122406.00000000 0.026221342838 Long DBT CORP US N 2 2025-06-15 Fixed 0.06000000 N N N N N N ConocoPhillips WPTL2Z3FIYTHSP5V2253 ConocoPhillips 20825C104 6991.00000000 NS USD 370313.27000000 0.079327085356 Long EC CORP US N 1 N N N Accenture plc N/A Accenture plc G1151C101 1942.00000000 NS USD 536477.50000000 0.114922148035 Long EC CORP IE N 1 N N N KKR & Co. Inc. 549300JOHU21WRN2Z451 KKR & Company, Inc. 48251W104 4017.00000000 NS USD 196230.45000000 0.042035732764 Long EC CORP US N 1 N N N Littelfuse, Inc. 549300MY7HLQFYTPCX75 Littelfuse, Inc. 537008104 934.00000000 NS USD 246986.96000000 0.052908597247 Long EC CORP US N 1 N N N Mastercard Incorporated AR5L2ODV9HN37376R084 Mastercard, Inc. 57636QAS3 45000.00000000 PA USD 44231.91000000 0.009475189749 Long DBT CORP US N 2 2031-03-15 Fixed 0.01900000 N N N N N N Thrivent Mutual Funds N/A Thrivent Core Short-Term Reserve Fund N/A 5155865.32300000 PA USD 51558653.23000000 11.04469652318 Long STIV PF US N 2 N N N Enterprise Products Partners L.P. 5493004LGN656HWLDA30 Enterprise Products Operating, LLC 29379VBT9 45000.00000000 PA USD 50702.03000000 0.010861193987 Long DBT CORP US N 2 2028-10-16 Fixed 0.04150000 N N N N N N ZF Friedrichshafen AG 529900JYGMS9CW9IQX78 ZF North America Capital, Inc. 98877DAC9 50000.00000000 PA USD 53676.50000000 0.011498373518 Long DBT CORP DE N 2 2025-04-29 Fixed 0.04750000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 6174467X1 24000.00000000 PA USD 27582.78000000 0.005908677113 Long DBT CORP US N 2 2025-11-24 Fixed 0.05000000 N N N N N N Harley Marine Financing Llc 5493005HW7HO5Y757M86 Harley Marine Financing, LLC 41284LAA2 431999.54000000 PA USD 402946.27000000 0.086317601188 Long ABS-O CORP US N 2 2043-05-15 Fixed 0.05682000 N N N N N N Danske Bank A/S MAES062Z21O4RZ2U7M96 Danske Bank AS 23636AAX9 61000.00000000 PA USD 62938.88000000 0.013482524960 Long DBT CORP DK N 2 2023-01-12 Variable 0.05000000 N N N N N N Southwest Airlines Co. UDTZ87G0STFETI6HGH41 Southwest Airlines Company, Convertible 844741BG2 241000.00000000 PA USD 413766.88000000 0.088635550671 Long DBT CORP US N 2 2025-05-01 Fixed 0.01250000 N N N N Y Southwest Airlines Co Southwest Airlines Co USD XXXX N N N Edwards Lifesciences Corporation YA13X31F3V31L8TMPR58 Edwards Lifesciences Corporation 28176E108 8203.00000000 NS USD 686098.92000000 0.146973473540 Long EC CORP US N 1 N N N Mitsubishi UFJ Financial Group, Inc. 353800V2V8PUY9TK3E06 Mitsubishi UFJ Financial Group, Inc. 606822AT1 83000.00000000 PA USD 87516.99000000 0.018747553215 Long DBT CORP JP N 2 2023-03-02 Fixed 0.03455000 N N N N N N Yum! Brands, Inc. 549300JE8XHZZ7OHN517 Yum! Brands, Inc. 988498AL5 90000.00000000 PA USD 95157.00000000 0.020384166792 Long DBT CORP US N 2 2030-01-15 Fixed 0.04750000 N N N N N N Marathon Petroleum Corporation 3BNYRYQHD39K4LCKQF12 Marathon Petroleum Corporation 56585ABA9 35000.00000000 PA USD 38441.29000000 0.008234745390 Long DBT CORP US N 2 2023-12-15 Fixed 0.04750000 N N N N N N PRPM Trust 2019-GS1 N/A Preston Ridge Partners Mortgage Trust, LLC 69359CAB1 202406.93100000 PA USD 202899.93000000 0.043464443134 Long ABS-CBDO CORP US N 2 2024-10-25 Variable 0.04750000 N N N N N N ESH Hospitality, Inc. 54930042FMK7X7SQ2896 ESH Hospitality, Inc. 26907YAB0 30000.00000000 PA USD 31729.20000000 0.006796907269 Long DBT CORP US N 2 2027-10-01 Fixed 0.04625000 N N N N N N MEREDITH CORP 549300YC8BC386CCTS24 Meredith Corporation 589433AC5 70000.00000000 PA USD 75101.60000000 0.016087976090 Long DBT CORP US N 2 2025-07-01 Fixed 0.06500000 N N N N N N Barclays PLC 213800LBQA1Y9L22JB70 Barclays plc 06738EBG9 85000.00000000 PA USD 94350.00000000 0.020211294354 Long DBT CORP GB N 2 2024-06-15 Variable 0.08000000 N N N N N N Spire Inc. 549300NXSY15DRY2R511 Spire, Inc. 84857L101 2629.00000000 NS USD 194256.81000000 0.041612947189 Long EC CORP US N 1 N N N Facebook, Inc. BQ4BKCS1HXDV9HN80Z93 Facebook, Inc. 30303M102 7734.00000000 NS USD 2277895.02000000 0.487961915827 Long EC CORP US N 1 N N N PennyMac Mortgage Investment Trust 549300BSSOQO1ZWDUJ97 PennyMac Mortgage Investment Trust 70931T103 987.00000000 NS USD 19345.20000000 0.004144054388 Long EC CORP US N 1 N N N Crestwood Equity Partners LP 549300CUY0F1TYDLDL45 Crestwood Equity Partners, LP, 9.250% 226344307 6964.00000000 NS USD 60168.96000000 0.012889163344 Long EP CORP US N 1 N N N Preferred Term Securities Xxiii Ltd N/A Preferred Term Securities XXIII, Ltd. 74043AAC5 40136.45700000 PA USD 33699.21000000 0.007218915239 Long DBT CORP KY N 2 2036-12-22 Floating 0.00383900 N N N N N N ZIGGO FINANCING PARTNERSHIP N/A Ziggo Financing Partnership, Term Loan N/A 540000.00000000 PA USD 534108.60000000 0.114414691382 Long DBT CORP US N 2 2028-04-30 Floating 0.02606000 N N N N N N Becton, Dickinson and Company ICE2EP6D98PQUILVRZ91 Becton, Dickinson and Company 075887109 1376.00000000 NS USD 334574.40000000 0.071671241991 Long EC CORP US N 1 N N N UnitedHealth Group Incorporated 549300GHBMY8T5GXDE41 UnitedHealth Group, Inc. 91324PDK5 112000.00000000 PA USD 125732.77000000 0.026933990720 Long DBT CORP US N 2 2028-06-15 Fixed 0.03850000 N N N N N N Chevron Corporation N/A Chevron Corporation 166764BW9 34000.00000000 PA USD 34693.73000000 0.007431957491 Long DBT CORP US N 2 2025-05-11 Fixed 0.01554000 N N N N N N National Retail Properties, Inc. 5493008JKH5SOTI0JS97 National Retail Properties, Inc. 637417AN6 45000.00000000 PA USD 44125.54000000 0.009452403577 Long DBT CORP US N 2 2030-04-15 Fixed 0.02500000 N N N N N N Prudential Financial, Inc. F0ATD1Y4J8CHDKHSLD09 PGIM Global High Yield Fund, Inc. 69346J106 5036.00000000 NS USD 75137.12000000 0.016095585048 Long RF US N 1 N N N J2 Global, Inc. 5493008OJYGLHD7MXA18 J2 Global, Inc., Convertible 48123VAD4 199000.00000000 PA USD 233203.13000000 0.049955878164 Long DBT CORP US N 2 2026-11-01 Fixed 0.01750000 N N N N Y J2 Global Inc J2 Global Inc USD XXXX N N N BALL METALPACK FINCO LLC N/A Ball Metalpack Finco, LLC, Term Loan N/A 204225.00000000 PA USD 202913.88000000 0.043467431450 Long DBT CORP US N 2 2025-07-31 Floating 0.04689800 N N N N N N Enbridge Inc. 98TPTUM4IVMFCZBCUR27 Enbridge, Inc. 29250NAR6 45000.00000000 PA USD 48938.67000000 0.010483453785 Long DBT CORP CA N 2 2027-07-15 Fixed 0.03700000 N N N N N N The Kraft Heinz Company 5493003STKEZ2S0RNU91 Kraft Foods Group, Inc. 50076QAE6 120000.00000000 PA USD 135048.17000000 0.028929499903 Long DBT CORP US N 2 2042-06-04 Fixed 0.05000000 N N N N N N Tutor Perini Corporation 549300FHXYVPW8LJ6D98 Tutor Perini Corporation 901109108 2964.00000000 NS USD 56167.80000000 0.012032050228 Long EC CORP US N 1 N N N Comerica Incorporated I9Q57JVPWHHZ3ZGBW498 Comerica, Inc. 200340AU1 42000.00000000 PA USD 46252.50000000 0.009908032773 Long DBT CORP US N 2 2025-07-01 Variable 0.05625000 N N N N N N The Hain Celestial Group, Inc. 5493000S8QXWHLIXDP75 Hain Celestial Group, Inc. 405217100 12460.00000000 NS USD 543256.00000000 0.116374212251 Long EC CORP US N 1 N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GFH7 70000.00000000 PA USD 77206.89000000 0.016538963222 Long DBT CORP US N 2 2024-08-26 Fixed 0.04200000 N N N N N N Banco Santander, S.A. 549300F5XIFGNNW4CF72 Santander UK Group Holdings plc 80281LAG0 67000.00000000 PA USD 73152.06000000 0.015670353124 Long DBT CORP GB N 2 2028-11-03 Variable 0.03823000 N N N N N N Bausch Health Companies Inc. B3BS7ACMDUWISF18KY76 Bausch Health Companies, Inc. 071734AH0 30000.00000000 PA USD 30375.00000000 0.006506815750 Long DBT CORP CA N 2 2028-01-30 Fixed 0.05000000 N N N N N N Starwood Mortgage Residential Trust 2018-IMC2 N/A Starwood Mortgage Residential Trust 85572PAA1 211453.53000000 PA USD 215979.29000000 0.046266253362 Long ABS-CBDO CORP US N 2 2048-10-25 Variable 0.04121000 N N N N N N GFL Environmental Inc. 549300FYK4MBXWIVZU26 GFL Environmental, Inc., Term Loan N/A 535000.00000000 PA USD 535000.00000000 0.114605643664 Long DBT CORP US N 2 2025-05-31 Floating 0.03500000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 060505EH3 288000.00000000 PA USD 318758.40000000 0.068283199262 Long DBT CORP US N 2 2025-03-05 Variable 0.06250000 N N N N N N International Game Technology PLC 549300UQ6KHRCZDRGZ76 International Game Technology plc 460599AE3 85000.00000000 PA USD 88655.00000000 0.018991333344 Long DBT CORP GB N 2 2029-01-15 Fixed 0.05250000 N N N N N N Bellemeade Re 2018-1 Ltd 549300O2GEH6GH9NO762 Bellemeade Re, Ltd. 078768AD0 298691.71000000 PA USD 298785.02000000 0.064004578569 Long ABS-CBDO CORP BM N 2 2028-04-25 Floating 0.01708600 N N N N N N Fastly, Inc. 549300E2FZC83FJ3H565 Fastly, Inc. 31188V100 3117.00000000 NS USD 209711.76000000 0.044923647175 Long EC CORP US N 1 N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343VEP5 81000.00000000 PA USD 82822.50000000 0.017741917611 Long DBT CORP US N 2 2025-05-15 Floating 0.01297600 N N N N N N Evergy, Inc. 549300PGTHDQY6PSUI61 Evergy, Inc. 30034WAA4 34000.00000000 PA USD 35597.81000000 0.007625626033 Long DBT CORP US N 2 2024-09-15 Fixed 0.02450000 N N N N N N Roku, Inc. 549300KR6ITU0YIR1T71 Roku, Inc. 77543R102 27.00000000 NS USD 8795.79000000 0.001884200326 Long EC CORP US N 1 N N N Argos Holdings L.P N/A Chewy, Inc. 16679L109 1221.00000000 NS USD 103430.91000000 0.022156571991 Long EC CORP US N 1 N N N Plantronics, Inc. 5493006O3W5M472F6668 Plantronics, Inc., Term Loan N/A 195648.34000000 PA USD 192854.48000000 0.041312545446 Long DBT CORP US N 2 2025-07-02 Floating 0.02649809 N N N N N N Deutsche Bank Aktiengesellschaft 7LTWFZYICNSX8D621K86 Deutsche Bank AG 251526CE7 152000.00000000 PA USD 152382.47000000 0.032642787023 Long DBT CORP DE N 2 2026-11-24 Variable 0.02129000 N N N N N N Residential Funding Mortgage Securities I Inc. N/A Residential Funding Mortgage Security I Trust 76200RAV0 222822.94800000 PA USD 213757.71000000 0.045790355033 Long ABS-CBDO CORP US N 2 2037-07-25 Fixed 0.06000000 N N N N N N NRG ENERGY INC 5E2UPK5SW04M13XY7I38 NRG Energy, Inc. 629377CQ3 105000.00000000 PA USD 102506.25000000 0.021958494880 Long DBT CORP US N 2 2029-02-15 Fixed 0.03375000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136A9XR4 1452510.20000000 PA USD 92716.05000000 0.019861275865 Long ABS-CBDO USGSE US N 2 2027-11-25 Fixed 0.03000000 N N N N N N Deutsche Bank Aktiengesellschaft N/A Deutsche Alt-A Securities, Inc., Mortgage Loan Trust 251510FG3 129365.27300000 PA USD 127830.46000000 0.027383349809 Long ABS-CBDO CORP US N 2 2035-08-25 Variable 0.01996400 N N N N N N Nutrien Ltd. 5493002QQ7GD21OWF963 Nutrien, Ltd. 67077M108 6460.00000000 NS USD 348129.40000000 0.074574941991 Long EC CORP CA N 1 N N N Exelon Corporation 3SOUA6IRML7435B56G12 Exelon Corporation 30161N101 7093.00000000 NS USD 310247.82000000 0.066460095526 Long EC CORP US N 1 N N N Host Hotels & Resorts, Inc. N6EL63S0K3PB1YFTDI24 Host Hotels & Resorts, Inc. 44107P104 29161.00000000 NS USD 491362.85000000 0.105257861116 Long EC CORP US N 1 N N N The Williams Companies, Inc. D71FAKCBLFS2O0RBPG08 Williams Companies, Inc. 969457100 1100.00000000 NS USD 26059.00000000 0.005582258819 Long EC CORP US N 1 N N N Centene Corporation 549300Z7JJ4TQSQGT333 Centene Corporation 15135B101 4835.00000000 NS USD 309004.85000000 0.066193831270 Long EC CORP US N 1 N N N Barclays PLC 213800LBQA1Y9L22JB70 Barclays plc 06738EBL8 41000.00000000 PA USD 42920.44000000 0.009194251687 Long DBT CORP GB N 2 2026-05-07 Variable 0.02852000 N N N N N N Booking Holdings Inc. FXM8FAOHMYDIPD38UZ17 Booking Holdings, Inc. 09857L108 393.00000000 NS USD 915627.12000000 0.196142122325 Long EC CORP US N 1 N N N NGL Energy Partners LP N/A NGL Energy Partners, LP 62913TAJ1 50000.00000000 PA USD 48250.00000000 0.010335929545 Long DBT CORP US N 2 2023-11-01 Fixed 0.07500000 N N N N N N Bayerische Motoren Werke AG 5299006ZHG3IXU0PNJ56 BMW Finance NV 05600LAA4 34000.00000000 PA USD 34800.57000000 0.007454844345 Long DBT CORP NL N 2 2022-08-12 Fixed 0.02250000 N N N N N N Apartment Investment and Management Company 549300O8FT5GJ4RU1D57 Apartment Investment & Management Company 03748R747 3372.00000000 NS USD 20704.08000000 0.004435148439 Long EC CORP US N 1 N N N Eldorado Resorts, Inc. 549300FA4CTCW903Y781 Caesars Entertainment, Inc. 12769G100 3528.00000000 NS USD 308523.60000000 0.066090739745 Long EC CORP US N 1 N N N Burlington Stores, Inc. 5299003Z37DVGKKC1W09 Burlington Stores, Inc. 122017106 50.00000000 NS USD 14940.00000000 0.003200389376 Long EC CORP US N 1 N N N W&T Offshore, Inc. 549300Q7EOY2YIO3YK85 W&T Offshore, Inc. 92922PAL0 75000.00000000 PA USD 66352.50000000 0.014213777516 Long DBT CORP US N 2 2023-11-01 Fixed 0.09750000 N N N N N N Zions Bancorporation, National Association 8WH0EE09O9V05QJZ3V89 Zions Bancorporations NA 989701107 15029.00000000 NS USD 825993.84000000 0.176941225600 Long EC CORP US N 1 N N N Raven Industries, Inc. ZN4TZXB8X0VUOSZJ5442 Raven Industries, Inc. 754212108 10257.00000000 NS USD 393150.81000000 0.084219255396 Long EC CORP US N 1 N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967LW9 180000.00000000 PA USD 200250.05000000 0.042896796026 Long DBT CORP US N 2 2029-04-23 Variable 0.04075000 N N N N N N Discover Financial Services X05BVSK68TQ7YTOSNR22 Discover Bank 25466AAN1 90000.00000000 PA USD 95994.00000000 0.020563465715 Long DBT CORP US N 2 2028-08-09 Variable 0.04682000 N N N N N N Energy Solutions, LLC 549300X3SKIUYR2MFH75 EnergySolutions, LLC, Term Loan N/A 340375.00000000 PA USD 338247.66000000 0.072458113630 Long DBT CORP US N 2 2025-05-11 Floating 0.04750000 N N N N N N Cisco Systems, Inc. 549300LKFJ962MZ46593 Cisco Systems, Inc. 17275R102 24540.00000000 NS USD 1268963.40000000 0.271832462138 Long EC CORP US N 1 N N N CVS Health Corporation 549300EJG376EN5NQE29 CVS Health Corporation 126650CW8 70000.00000000 PA USD 77543.59000000 0.016611089801 Long DBT CORP US N 2 2025-03-25 Fixed 0.04100000 N N N N N N KKR Real Estate Finance Trust Inc. 549300K23AYZDZ2REL62 KKR Real Estate Finance Trust, Inc. 48251K100 234.00000000 NS USD 4303.26000000 0.000921827817 Long EC CORP US N 1 N N N CBS RADIO INC 549300S5JUSXRHNCHD80 Entercom Media Corporation, Term Loan N/A 465953.64000000 PA USD 455120.22000000 0.097494104220 Long DBT CORP US N 2 2024-11-17 Floating 0.02609100 N N N N N N The Charles Schwab Corporation 549300VSGCJ7E698NM85 Charles Schwab Corporation 808513BD6 128000.00000000 PA USD 141397.76000000 0.030289684668 Long DBT CORP US N 2 2025-06-01 Variable 0.05375000 N N N N N N Kraton Corporation N/A Kraton Polymers, LLC 50076XAC5 90000.00000000 PA USD 90337.50000000 0.019351752027 Long DBT CORP US N 2 2025-12-15 Fixed 0.04250000 N N N N N N WESCO International, Inc. 529900TXOGREY3WNJ434 WESCO International, Inc. 95082P105 4293.00000000 NS USD 371473.29000000 0.079575580382 Long EC CORP US N 1 N N N State Street Corporation 549300YI2V5ELVW58659 SPDR Bloomberg Barclays Short Term High Yield Bond ETF 78468R408 31804.00000000 NS USD 869203.32000000 0.186197394325 Long RF US N 1 N N N Adobe Inc. FU4LY2G4933NH2E1CP29 Adobe, Inc. 00724F101 2581.00000000 NS USD 1226929.97000000 0.262828222323 Long EC CORP US N 1 N N N Fifth Third Bancorp QFROUN1UWUYU0DVIWD51 Fifth Third Bank NA 31677AAB0 46000.00000000 PA USD 50637.92000000 0.010847460589 Long DBT CORP US N 2 2026-03-15 Fixed 0.03850000 N N N N N N QCR Holdings, Inc. 549300MWKWM7KWJVQO33 QCR Holdings, Inc. 74727A104 214.00000000 NS USD 10105.08000000 0.002164671397 Long EC CORP US N 1 N N N Domino's Pizza, Inc. 5299004V0Y8MI5D9FF45 Domino's Pizza, Inc. 25754A201 1265.00000000 NS USD 465254.35000000 0.099664998597 Long EC CORP US N 1 N N N Devon Energy Corporation 54930042348RKR3ZPN35 Devon Energy Corporation 25179M103 41091.00000000 NS USD 897838.35000000 0.192331480389 Long EC CORP US N 1 N N N DTE Energy Company 549300IX8SD6XXD71I78 DTE Energy Company 233331AZ0 45000.00000000 PA USD 49561.22000000 0.010616814054 Long DBT CORP US N 2 2027-03-15 Fixed 0.03800000 N N N N N N Clear Channel Outdoor Holdings, Inc. N/A Clear Channel Outdoor Holdings, Inc., Term Loan N/A 550878.85000000 PA USD 528386.47000000 0.113188918687 Long DBT CORP US N 2 2026-08-21 Floating 0.03711500 N N N N N N Western Midstream Partners, LP L6D8A6MLSY454J2JXJ60 Western Midstream Operating, LP 958254AE4 70000.00000000 PA USD 71890.70000000 0.015400149433 Long DBT CORP US N 2 2025-06-01 Fixed 0.03950000 N N N N N N T-Mobile US, Inc. 549300L17W0GQBR1PO80 Sprint Capital Corporation 852060AD4 90000.00000000 PA USD 113487.30000000 0.024310813204 Long DBT CORP US N 2 2028-11-15 Fixed 0.06875000 N N N N N N Medtronic plc D56MRZY2INAN94ZONZ37 Medtronic, Inc. 585055BS4 10000.00000000 PA USD 10968.13000000 0.002349550651 Long DBT CORP US N 2 2025-03-15 Fixed 0.03500000 N N N N N N PUBLIC SERVICE ENTERPRIS PUSS41EMO3E6XXNV3U28 Public Service Enterprise Group, Inc. 744573AQ9 45000.00000000 PA USD 41442.95000000 0.008877749458 Long DBT CORP US N 2 2030-08-15 Fixed 0.01600000 N N N N N N Align Technology, Inc. 549300N5YSE0U3LCP840 Align Technology, Inc. 016255101 529.00000000 NS USD 286469.37000000 0.061366367362 Long EC CORP US N 1 N N N NXP Semiconductors N.V. N/A NXP Funding, LLC 62954HAE8 17000.00000000 PA USD 17829.00000000 0.003819259852 Long DBT CORP XX N 2 2025-05-01 Fixed 0.02700000 N N N N N N PayPal Holdings, Inc. 5493005X2GO78EFZ3E94 PayPal Holdings, Inc. 70450Y103 8126.00000000 NS USD 1973317.84000000 0.422716563005 Long EC CORP US N 1 N N N Nuance Communications, Inc. AEMSOT3SS15TNMJCE605 Nuance Communications, Inc. 67020Y100 25770.00000000 NS USD 1124602.80000000 0.240908089272 Long EC CORP US N 1 N N N Truist Financial Corporation 549300DRQQI75D2JP341 Truist Financial Corporation, 4.750% 89832Q695 5025.00000000 NS USD 129393.75000000 0.027718231784 Long EP CORP US N 1 N N N PayPal Holdings, Inc. 5493005X2GO78EFZ3E94 PayPal Holdings, Inc. 70450YAG8 68000.00000000 PA USD 69251.43000000 0.014834775158 Long DBT CORP US N 2 2025-06-01 Fixed 0.01650000 N N N N N N Lumen Technologies, Inc. N/A Embarq Corporation 29078EAA3 35000.00000000 PA USD 40327.35000000 0.008638769914 Long DBT CORP US N 2 2036-06-01 Fixed 0.07995000 N N N N N N CenterPoint Energy, Inc. 549300S8SEQBOJLKHW63 CenterPoint Energy Houston Electric, LLC 15189XAV0 45000.00000000 PA USD 45013.05000000 0.009642522558 Long DBT CORP US N 2 2031-04-01 Fixed 0.02350000 N N N N N N Penske Truck Leasing Co., L.P. N/A Penske Truck Leasing Company, LP 709599AS3 35000.00000000 PA USD 35646.04000000 0.007635957679 Long DBT CORP US N 2 2022-02-01 Fixed 0.03375000 N N N N N N Southwest Airlines Co. UDTZ87G0STFETI6HGH41 Southwest Airlines Company 844741BH0 17000.00000000 PA USD 18354.82000000 0.003931898991 Long DBT CORP US N 2 2023-05-04 Fixed 0.04750000 N N N N N N Standard Diversified Inc. 549300IYG00QF0VVP302 Turning Point Brands, Inc. 90041L105 7315.00000000 NS USD 381623.55000000 0.081749930066 Long EC CORP US N 1 N N N Plains All American Pipeline, L.P. N/A Plains All American Pipeline, LP 72650RBJ0 111000.00000000 PA USD 121624.76000000 0.026053988608 Long DBT CORP US N 2 2025-10-15 Fixed 0.04650000 N N N N N N EOG Resources, Inc. XWTZDRYZPBUHIQBKDB46 EOG Resources, Inc. 26875P101 3410.00000000 NS USD 247327.30000000 0.052981503574 Long EC CORP US N 1 N N N Fidelity National Financial, Inc. 549300CAZYIH39SYQ287 Fidelity National Financial, Inc. 31620RAF2 57000.00000000 PA USD 60860.52000000 0.013037306669 Long DBT CORP US N 2 2022-09-01 Fixed 0.05500000 N N N N N N Lumen Technologies, Inc. 8M3THTGWLTYZVE6BBY25 Lumen Technologies, Inc. 550241103 7152.00000000 NS USD 95479.20000000 0.020453187238 Long EC CORP US N 1 N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46647PAR7 134000.00000000 PA USD 149434.14000000 0.032011207103 Long DBT CORP US N 2 2029-04-23 Variable 0.04005000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association 3140X5CX9 256265.12600000 PA USD 270674.74000000 0.057982902432 Long ABS-MBS USGSE US N 2 2048-10-01 Fixed 0.03500000 N N N N N N PBF Energy Inc N/A PBF Holding Company, LLC 69318FAK4 70000.00000000 PA USD 71466.50000000 0.015309278940 Long DBT CORP US N 2 2025-05-15 Fixed 0.09250000 N N N N N N NXP Semiconductors N.V. N/A NXP Funding, LLC 62954HAB4 45000.00000000 PA USD 50329.30000000 0.010781349199 Long DBT CORP XX N 2 2029-06-18 Fixed 0.04300000 N N N N N N International Flavors & Fragrances Inc. BZLRL03D3GPGMOGFO832 International Flavors & Fragrances, Inc., Convertible, 6.000% 459506309 1261.00000000 NS USD 61839.44000000 0.013247007149 Long EP CORP US N 1 N N N CAESARS ENTERTAIN INC 549300FA4CTCW903Y781 Colt Merger Sub, Inc. 28470RAH5 150000.00000000 PA USD 159902.25000000 0.034253645391 Long DBT CORP US N 2 2025-07-01 Fixed 0.06250000 N N N N N N Deere & Company E0KSF7PFQ210NWI8Z391 John Deere Capital Corporation 24422EVE6 47000.00000000 PA USD 47745.02000000 0.010227754670 Long DBT CORP US N 2 2023-04-06 Fixed 0.01200000 N N N N N N United Rentals, Inc. 5323X5O7RN0NKFCDRY08 United Rentals, Inc. 911363109 3834.00000000 NS USD 1262574.54000000 0.270463865105 Long EC CORP US N 1 N N N Zayo Group Holdings, Inc. 529900Z6OTS7RT0V0I47 Zayo Group Holdings, Inc., Term Loan N/A 988776.31000000 PA USD 980104.74000000 0.209954270255 Long DBT CORP US N 2 2027-03-09 Floating 0.00000000 N N N N N N Aadvantage Loyalty IP Ltd. N/A American Airlines, Inc. 00253XAB7 15000.00000000 PA USD 15954.75000000 0.003417765221 Long DBT CORP XX N 2 2029-04-20 Fixed 0.05750000 N N N N N N Starwood Property Trust, Inc. BUGSFQZERKRBFWIG5267 Starwood Property Trust, Inc., Convertible 85571BAH8 60000.00000000 PA USD 62514.00000000 0.013391508800 Long DBT CORP US N 2 2023-04-01 Fixed 0.04375000 N N N N Y Starwood Property Trust Inc Starwood Property Trust Inc USD XXXX N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T, Inc., 5.000% 00206R508 2375.00000000 NS USD 62628.75000000 0.013416090104 Long EP CORP US N 1 N N N Cornerstone Building Brands, Inc. 549300IW41QEWQ6T0H29 Cornerstone Building Brands, Inc. 21925DAA7 90000.00000000 PA USD 95850.00000000 0.020532618589 Long DBT CORP US N 2 2029-01-15 Fixed 0.06125000 N N N N N N TENNECO INC 549300U0EXXFAQFAD785 Tenneco, Inc., Term Loan N/A 258676.84000000 PA USD 251627.90000000 0.053902761576 Long DBT CORP US N 2 2025-10-01 Floating 0.03108500 N N N N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343VGJ7 44000.00000000 PA USD 43960.07000000 0.009416957229 Long DBT CORP US N 2 2031-03-21 Fixed 0.02550000 N N N N N N Ventas, Inc. 32SXKSJ72K64GM3HOU64 Ventas Realty, LP 92277GAD9 35000.00000000 PA USD 37764.45000000 0.008089755326 Long DBT CORP US N 2 2024-05-01 Fixed 0.03750000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 6174824M3 10000.00000000 PA USD 10661.61000000 0.002283889115 Long DBT CORP US N 2 2022-11-01 Fixed 0.04875000 N N N N N N CHS Inc. XEIEFTLYDQ1MZ6TZV015 CHS, Inc., 7.100% 12542R506 1250.00000000 NS USD 34512.50000000 0.007393135097 Long EP CORP US N 1 N N N Bristol-Myers Squibb Company HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Company 110122CN6 90000.00000000 PA USD 97897.35000000 0.020971194037 Long DBT CORP US N 2 2026-06-15 Fixed 0.03200000 N N N N N N Bank of America Corporation N/A Banc of America Alternative Loan Trust 05948KR92 187487.29600000 PA USD 185719.33000000 0.039784081038 Long ABS-CBDO CORP US N 2 2035-11-25 Fixed 0.06000000 N N N N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T, Inc. 00206R102 11319.00000000 NS USD 342626.13000000 0.073396052644 Long EC CORP US N 1 N N N Legg Mason, Inc. OWUNCC6U1ZJXMZKFBJ36 Legg Mason, Inc., 5.450% 524901600 3350.00000000 NS USD 85425.00000000 0.018299415158 Long EP CORP US N 1 N N N Lloyds Banking Group plc 549300PPXHEU2JF0AM85 Lloyds Banking Group plc 53944YAP8 90000.00000000 PA USD 89345.73000000 0.019139298869 Long DBT CORP GB N 2 2027-05-11 Variable 0.01627000 N N N N N N Voya Financial, Inc. 549300YJVN8KX08ZHI42 Voya Global Equity Dividend & Premium Opportunity Fund 92912T100 9794.00000000 NS USD 55825.80000000 0.011958788302 Long RF US N 1 N N N VICI Properties Inc. N/A VICI Properties, LP 92564RAD7 30000.00000000 PA USD 30000.00000000 0.006426484691 Long DBT CORP US N 2 2027-02-15 Fixed 0.03750000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46647PAY2 145000.00000000 PA USD 157313.67000000 0.033699129733 Long DBT CORP US N 2 2024-12-05 Variable 0.04023000 N N N N N N UBS Group AG N/A Master Asset Securitization Trust 55274QBN4 424089.85400000 PA USD 94807.32000000 0.020309259687 Long ABS-CBDO CORP US N 2 2036-06-25 Floating 0.00608600 N N N N N N NXP Semiconductors N.V. N/A NXP BV/NXP Funding, LLC 62947QAZ1 48000.00000000 PA USD 53349.89000000 0.011428408379 Long DBT CORP NL N 2 2024-03-01 Fixed 0.04875000 N N N N N N SINCLAIR TELEVISION GROUP 549300CQGEN0CH65UD62 Sinclair Television Group, Inc. 829259AY6 100000.00000000 PA USD 97250.00000000 0.020832521208 Long DBT CORP US N 2 2030-03-01 Fixed 0.05500000 N N N N N N Delta Air Lines, Inc. Q2CCMS6R0AS67HJMBN42 Delta Air Lines, Inc. 247361702 10964.00000000 NS USD 529341.92000000 0.113393591514 Long EC CORP US N 1 N N N Landstar System, Inc. 254900CUQXQRL09MEI52 Landstar System, Inc. 515098101 183.00000000 NS USD 30205.98000000 0.006470608935 Long EC CORP US N 1 N N N Libbey, Inc. N/A Libbey, Inc. N/A 9232.00000000 NS USD 13617.20000000 0.002917024244 Long EC CORP US N 2 N N N Lloyds Banking Group plc 549300PPXHEU2JF0AM85 Lloyds Banking Group plc 53944YAK9 51000.00000000 PA USD 52072.63000000 0.011154798651 Long DBT CORP GB N 2 2023-03-17 Variable 0.02858000 N N N N N N Aramark 42YMHYH0XMHJEXDUB065 Aramark Services, Inc. 038522AR9 50000.00000000 PA USD 53000.00000000 0.011353456288 Long DBT CORP US N 2 2025-05-01 Fixed 0.06375000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136AE4H7 727027.78000000 PA USD 39262.48000000 0.008410657555 Long ABS-CBDO USGSE US N 2 2031-11-25 Fixed 0.03000000 N N N N N N MGIC Investment Corporation 254900S8483WM4M98R28 MGIC Investment Corporation 552848103 4322.00000000 NS USD 59859.70000000 0.012822914856 Long EC CORP US N 1 N N N Lam Research Corporation 549300I4GMO6D34U1T02 Lam Research Corporation 512807108 372.00000000 NS USD 221429.28000000 0.047433729272 Long EC CORP US N 1 N N N Credit Suisse Group AG N/A Credit Suisse First Boston Mortgage Securities Corporation 2254585Q7 94358.11800000 PA USD 93439.36000000 0.020016220554 Long ABS-CBDO CORP US N 2 2035-10-25 Fixed 0.05250000 N N N N N N Old Dominion Freight Line, Inc. 5299009TWK32WE417T96 Old Dominion Freight Line, Inc. 679580100 1901.00000000 NS USD 457019.41000000 0.097900941402 Long EC CORP US N 1 N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343VGH1 90000.00000000 PA USD 90377.13000000 0.019360241413 Long DBT CORP US N 2 2028-03-22 Fixed 0.02100000 N N N N N N Dominion Energy, Inc. ILUL7B6Z54MRYCF6H308 Dominion Energy, Inc. 25746UDD8 135000.00000000 PA USD 142128.00000000 0.030446113874 Long DBT CORP US N 2 2024-12-15 Variable 0.04650000 N N N N N N LHC Group, Inc. 5299009NPLWAMRQYZX73 LHC Group, Inc. 50187A107 1065.00000000 NS USD 203638.65000000 0.043622688893 Long EC CORP US N 1 N N N Tronox Holdings plc N/A Tronox Finance plc 89705PAA3 50000.00000000 PA USD 52156.50000000 0.011172764960 Long DBT CORP GB N 2 2025-10-01 Fixed 0.05750000 N N N N N N American Express Company R4PP93JZOLY261QX3811 American Express Company 025816109 3939.00000000 NS USD 557132.16000000 0.119346709912 Long EC CORP US N 1 N N N Ardelyx, Inc. 549300F542QR4SXHCY32 Ardelyx, Inc. 039697107 6191.00000000 NS USD 40984.42000000 0.008779524923 Long EC CORP US N 1 N N N RACKSPACE TECHNOLOGY 549300QTYCKLMFSE8I97 Rackspace Technology Global, Inc., Term Loan N/A 950000.00000000 PA USD 940794.50000000 0.201533381735 Long DBT CORP US N 2 2028-02-09 Floating 0.03500000 N N N N N N Mattamy Group Corporation 5493008TNY7A82WCXU31 Mattamy Group Corporation 57701RAJ1 100000.00000000 PA USD 104625.00000000 0.022412365361 Long DBT CORP CA N 2 2027-12-15 Fixed 0.05250000 N N N N N N FactSet Research Systems Inc. 549300ZSJE7NBK6K9P30 FactSet Research Systems, Inc. 303075105 337.00000000 NS USD 103994.83000000 0.022277372766 Long EC CORP US N 1 N N N Next Alt S.a.r.l. 3HG2WD2W22M120IUNG49 CSC Holdings, LLC 126307AU1 50000.00000000 PA USD 51550.00000000 0.011042842861 Long DBT CORP US N 2 2026-05-15 Fixed 0.05500000 N N N N N N Cigna Corporation 549300VIWYMSIGT1U456 Cigna Corporation 125523AG5 75000.00000000 PA USD 83625.30000000 0.017913890342 Long DBT CORP US N 2 2025-11-15 Fixed 0.04125000 N N N N N N Nippon Life Insurance Company 549300Y0HHMFW3EVWY08 Nippon Life Insurance Company 654579AG6 129000.00000000 PA USD 131257.50000000 0.028117477146 Long DBT CORP JP N 2 2050-01-23 Variable 0.03400000 N N N N N N Marvell Technology Group Ltd. 8DF36O58U3QIHUCGZB18 Marvell Technology Group, Ltd. 57385LAA6 41000.00000000 PA USD 43869.44000000 0.009397542819 Long DBT CORP BM N 2 2023-06-22 Fixed 0.04200000 N N N N N N Schlumberger Limited 549300P4EXZFF0LRNF59 Schlumberger Finance Canada, Ltd. 80685XAC5 35000.00000000 PA USD 35029.72000000 0.007503931977 Long DBT CORP CA N 2 2025-09-17 Fixed 0.01400000 N N N N N N H&E Equipment Services, Inc. N/A H&E Equipment Services, Inc. 404030AJ7 70000.00000000 PA USD 68075.00000000 0.014582764845 Long DBT CORP US N 2 2028-12-15 Fixed 0.03875000 N N N N N N Kinross Gold Corporation 549300UEBMAQDN0K0R06 Kinross Gold Corporation 496902AJ6 44000.00000000 PA USD 44317.34000000 0.009493490235 Long DBT CORP CA N 2 2021-09-01 Fixed 0.05125000 N N N N N N Cheniere Energy Partners, L.P. 549300KJYBG7C6WJYZ11 Sabine Pass Liquefaction, LLC 785592AU0 67000.00000000 PA USD 73504.27000000 0.015745802197 Long DBT CORP US N 2 2028-03-15 Fixed 0.04200000 N N N N N N Nippon Life Insurance Company 549300Y0HHMFW3EVWY08 Nippon Life Insurance Company 654579AD3 168000.00000000 PA USD 185640.00000000 0.039767087270 Long DBT CORP JP N 2 2044-10-16 Variable 0.05100000 N N N N N N Diamondback Energy, Inc. 549300R22LSX6OHWEN64 Diamondback Energy, Inc. 25278XAR0 22000.00000000 PA USD 21963.60000000 0.004704957972 Long DBT CORP US N 2 2031-03-24 Fixed 0.03125000 N N N N N N Broadcom Inc. 549300WV6GIDOZJTV909 Broadcom, Inc. 11135FBD2 90000.00000000 PA USD 102574.47000000 0.021973108706 Long DBT CORP US N 2 2030-04-15 Fixed 0.05000000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 060505104 37915.00000000 NS USD 1466931.35000000 0.314240395473 Long EC CORP US N 1 N N N Playtika Holding Corp. 254900E35Z4TKA4UFG64 Playtika Holding Corporation 72815LAA5 20000.00000000 PA USD 19704.00000000 0.004220915145 Long DBT CORP US N 2 2029-03-15 Fixed 0.04250000 N N N N N N Triumph Bancorp, Inc. 5493003RNRMEVYDZ1Q52 Triumph Bancorp, Inc. 89679E300 4575.00000000 NS USD 354059.25000000 0.075845211666 Long EC CORP US N 1 N N N Curtiss-Wright Corporation TEL51ETZWP7D0ZM4X325 Curtiss-Wright Corporation 231561101 4167.00000000 NS USD 494206.20000000 0.105866952624 Long EC CORP US N 1 N N N Barclays PLC 213800LBQA1Y9L22JB70 Barclays plc 06738EBD6 68000.00000000 PA USD 78189.16000000 0.016749381325 Long DBT CORP GB N 2 2029-05-16 Variable 0.04972000 N N N N N N The Blackstone Group Inc. 549300WUTLLKJDQKPE21 FS KKR Capital Corporation II 35952V303 2600.00000000 NS USD 50778.00000000 0.010877467988 Long EC CORP US N 1 N N N Zillow Group, Inc. 2549002XEELQDIR6FU05 Zillow Group, Inc. 98954M101 2511.00000000 NS USD 329895.18000000 0.070668877468 Long EC CORP US N 1 N N N Morgan Stanley & Co N/A CBOT 2-Yr. U.S. Treasury Note N/A -12.00000000 NC USD 2506.80000000 0.000536997060 N/A DIR CORP US N 1 Morgan Stanley & Company N/A Short United States Department of The Treasury United States Treasury Note/Bond 2021-06-30 -2651225.52000000 USD 2506.80000000 N N N The Coca-Cola Company UWJKFUJFZ02DKWI3RY53 Coca-Cola Company 191216DJ6 67000.00000000 PA USD 65876.94000000 0.014111904881 Long DBT CORP US N 2 2028-03-05 Fixed 0.01500000 N N N N N N JELD-WEN Holding, Inc. 549300XWE6NM0N1HFW16 Jeld-Wen, Inc. 475795AC4 80000.00000000 PA USD 81000.00000000 0.017351508666 Long DBT CORP US N 2 2025-12-15 Fixed 0.04625000 N N N N N N Hawaiian Brand Intellectual Property, Ltd. N/A Hawaiian Brand Intellectual Property, Ltd. 41984LAA5 80000.00000000 PA USD 85008.00000000 0.018210087021 Long DBT CORP KY N 2 2026-01-20 Fixed 0.05750000 N N N N N N Equitable Holdings, Inc. 549300FIBAKMNHPZ4009 Equitable Holdings, Inc. 29452E101 28996.00000000 NS USD 945849.52000000 0.202616248690 Long EC CORP US N 1 N N N Hyundai Motor Company 549300RIPPWJB5Z0FK07 Hyundai Capital America 44891ABN6 35000.00000000 PA USD 34964.46000000 0.007489952231 Long DBT CORP US N 2 2025-10-15 Fixed 0.01800000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 15-Yr. Pass Through 01F020448 7650000.00000000 PA USD 7850984.70000000 1.681807766251 Long ABS-MBS USGSE US N 2 2036-04-01 Fixed 0.02000000 N N N N N N The Bank of Nova Scotia L3I9ZG2KFGXZ61BMYR72 Bank of Nova Scotia 064159VJ2 126000.00000000 PA USD 133954.38000000 0.028695192414 Long DBT CORP CA N 2 2025-06-04 Variable 0.04900000 N N N N N N Western Midstream Partners, LP L6D8A6MLSY454J2JXJ60 Western Midstream Operating, LP 958667AB3 50000.00000000 PA USD 51750.00000000 0.011085686092 Long DBT CORP US N 2 2025-02-01 Fixed 0.04350000 N N N N N N Live Nation Entertainment, Inc. 5493007B9BM9ZXJINO78 Live Nation Entertainment, Inc. 538034109 6104.00000000 NS USD 516703.60000000 0.110686259181 Long EC CORP US N 1 N N N Brighthouse Financial, Inc. 5493003T8SZSHOGGAW52 Brighthouse Financial, Inc. 10922N103 190.00000000 NS USD 8407.50000000 0.001801022334 Long EC CORP US N 1 N N N MEREDITH CORP 549300YC8BC386CCTS24 Meredith Corporation, Term Loan N/A 447744.36000000 PA USD 453994.87000000 0.097253036068 Long DBT CORP US N 2 2025-01-31 Floating 0.05250000 N N N N N N Pebblebrook Hotel Trust 5493004Q1NNH6JXCSI52 Pebblebrook Hotel Trust 70509V100 1692.00000000 NS USD 41098.68000000 0.008804001261 Long EC CORP US N 1 N N N OCI N.V. 549300NCMRGIBJYUOE57 OCI NV 67091GAE3 100000.00000000 PA USD 103375.00000000 0.022144595166 Long DBT CORP NL N 2 2025-10-15 Fixed 0.04625000 N N N N N N Peapack-Gladstone Financial Corporation 549300G8DN2UK8K0ET30 Peapack-Gladstone Financial Corporation 704699107 266.00000000 NS USD 8214.08000000 0.001759588645 Long EC CORP US N 1 N N N BlackRock, Inc. N/A BlackRock, Inc. 09247X101 721.00000000 NS USD 543605.16000000 0.116449007964 Long EC CORP US N 1 N N N Kohl's Corporation 549300JF6LPRTRJ0FH50 Kohl's Corporation 500255AW4 91000.00000000 PA USD 117992.66000000 0.025275934106 Long DBT CORP US N 2 2025-05-15 Fixed 0.09500000 N N N N N N Arthur J. Gallagher & Co. 54930049QLLMPART6V29 Arthur J. Gallagher & Company 363576109 2365.00000000 NS USD 295081.05000000 0.063211128352 Long EC CORP US N 1 N N N UBS Group AG 549300SZJ9VS8SGXAN81 UBS Group AG 902613AC2 42000.00000000 PA USD 41388.68000000 0.008866123947 Long DBT CORP CH N 2 2027-01-30 Variable 0.01364000 N N N N N N Strategic Education, Inc. 0PYXF82EO1UCNGL5I740 Strategic Education, Inc. 86272C103 144.00000000 NS USD 13235.04000000 0.002835159398 Long EC CORP US N 1 N N N Oracle Corporation 1Z4GXXU7ZHVWFCD8TV52 Oracle Corporation 68389X105 9409.00000000 NS USD 660229.53000000 0.141431832246 Long EC CORP US N 1 N N N GCI LLC 549300N3IE9H88Q20221 GCI, LLC, Term Loan N/A 662937.50000000 PA USD 659072.57000000 0.141183992722 Long DBT CORP US N 2 2025-10-15 Floating 0.03500000 N N N N N N Lehman Brothers Holdings, Inc. N/A Wells Fargo Home Equity Trust 86359BND9 194767.17500000 PA USD 189482.87000000 0.040590292111 Long ABS-CBDO CORP US N 2 2034-04-25 Floating 0.00858630 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company, 4.750% 48128B622 3650.00000000 NS USD 96433.00000000 0.020657506608 Long EP CORP US N 1 N N N Barings CLO Ltd. 2018-III 5493000D71NBEM2WZE67 Babson CLO, Ltd. 06760PAJ0 300000.00000000 PA USD 291046.20000000 0.062346798293 Long ABS-O CORP KY N 2 2029-07-20 Floating 0.03124000 N N N N N N JPMorgan Chase & Co. N/A J.P. Morgan Alternative Loan Trust 46627MER4 340015.86700000 PA USD 272711.90000000 0.058419295017 Long ABS-CBDO CORP US N 2 2036-03-25 Fixed 0.06500000 N N N N N N JPMorgan Chase & Co. N/A WaMu Mortgage Pass Through Certificates 93363RAA4 234851.10500000 PA USD 220314.34000000 0.047194891110 Long ABS-CBDO CORP US N 2 2046-10-25 Floating 0.01139030 N N N N N N State Street Corporation 549300ZFEEJ2IP5VME73 State Street Corporation 857477BE2 31000.00000000 PA USD 32606.42000000 0.006984821965 Long DBT CORP US N 2 2025-11-01 Variable 0.02354000 N N N N N N VEREIT, Inc. 5493005TQOUJE1LCS698 VEREIT Operating Partnership, LP 92340LAC3 67000.00000000 PA USD 73521.19000000 0.015749426734 Long DBT CORP US N 2 2027-08-15 Fixed 0.03950000 N N N N N N Mitsubishi UFJ Financial Group, Inc. 353800V2V8PUY9TK3E06 Mitsubishi UFJ Financial Group, Inc. 606822BD5 35000.00000000 PA USD 37580.55000000 0.008050360975 Long DBT CORP JP N 2 2024-03-07 Fixed 0.03407000 N N N N N N Amazon.com, Inc. ZXTILKJKG63JELOEG630 Amazon.com, Inc. 023135BS4 45000.00000000 PA USD 42879.65000000 0.009185513810 Long DBT CORP US N 2 2030-06-03 Fixed 0.01500000 N N N N N N General Motors Company 5493008B6JBRUJ90QL97 General Motors Financial Company, Inc. 37045XBW5 68000.00000000 PA USD 73184.22000000 0.015677242316 Long DBT CORP US N 2 2024-04-13 Fixed 0.03950000 N N N N N N SKYMILES IP LTD N/A SkyMiles IP, Ltd., Term Loan N/A 695000.00000000 PA USD 729055.00000000 0.156175359891 Long DBT CORP US N 2 2027-10-20 Floating 0.04750000 N N N N N N Energy Transfer LP 5493008K8W3OKZE54J59 Energy Transfer Operating, LP, 7.600% 29278N509 1600.00000000 NS USD 38256.00000000 0.008195053278 Long EP CORP US N 1 N N N Unum Group 549300E32YFDO6TZ8R31 Unum Group 91529Y106 5384.00000000 NS USD 149836.72000000 0.032097446243 Long EC CORP US N 1 N N N Next Alt S.a.r.l. 5493001ZMCICV4N02J21 SFR Group SA 67054KAA7 150000.00000000 PA USD 156015.00000000 0.033420933638 Long DBT CORP FR N 2 2026-05-01 Fixed 0.07375000 N N N N N N Federal Home Loan Mortgage Corporation S6XOOCT0IEG5ABCC6L87 Federal Home Loan Mortgage Corporation 31325VQ72 673916.08000000 PA USD 77470.29000000 0.016595387757 Long ABS-MBS USGSE US N 2 2035-08-15 Fixed 0.03500000 N N N N N N The Southern Company 549300FC3G3YU2FBZD92 Southern Company, Convertible, 6.750% 842587602 2044.00000000 NS USD 104100.92000000 0.022300098958 Long EP CORP US N 1 N N N Bank of America Corporation N/A CHL Mortgage Pass-Through Trust 12544JAB2 360252.48200000 PA USD 281913.17000000 0.060390355711 Long ABS-CBDO CORP US N 2 2037-11-25 Fixed 0.06000000 N N N N N N SS&C Technologies Holdings, Inc. 549300KY09TR3J12JU49 SS&C Technologies, Inc. 78466CAC0 150000.00000000 PA USD 159757.50000000 0.034222637603 Long DBT CORP US N 2 2027-09-30 Fixed 0.05500000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 6174468V4 103000.00000000 PA USD 100537.59000000 0.021536776101 Long DBT CORP US N 2 2026-12-10 Variable 0.00985000 N N N N N N Plexus Corp. 549300W7HCBI5YT25I79 Plexus Corporation 729132100 2372.00000000 NS USD 217844.48000000 0.046665807194 Long EC CORP US N 1 N N N United Parcel Service, Inc. D01LMJZU09ULLNCY6Z23 United Parcel Service, Inc. 911312106 2960.00000000 NS USD 503170.40000000 0.107787229093 Long EC CORP US N 1 N N N The Boeing Company RVHJWBXLJ1RFUBSY1F30 Boeing Company 097023CY9 90000.00000000 PA USD 103657.10000000 0.022205025543 Long DBT CORP US N 2 2030-05-01 Fixed 0.05150000 N N N N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343V104 18555.00000000 NS USD 1078973.25000000 0.231133502454 Long EC CORP US N 1 N N N Crown Holdings, Inc. 7HLDMDH0ZXNUH6PT7Z42 Crown Cork & Seal Company, Inc. 228255AH8 50000.00000000 PA USD 60187.50000000 0.012893134912 Long DBT CORP US N 2 2026-12-15 Fixed 0.07375000 N N N N N N Truist Financial Corporation 549300DRQQI75D2JP341 BB&T Corporation 05531FBH5 34000.00000000 PA USD 35796.61000000 0.007668212205 Long DBT CORP US N 2 2024-08-01 Fixed 0.02500000 N N N N N N NEWCO FINANCING PARTNERSHIP 213800WOI14YQDY3SW28 Newco Financing Partnership, Term Loan N/A 100000.00000000 PA USD 99679.00000000 0.021352852252 Long DBT CORP US N 2 2029-01-31 Floating 0.03606000 N N N N N N Federal Farm Credit Banks Funding Corporation I0JS1G88CFNZT8P31C22 Agribank FCB, 6.875% 00850L203 3174.00000000 NS USD 342792.00000000 0.073431584678 Long EP USGSE US N 1 N N N ALBERTSONS COS/SAFEWAY N/A Albertson's Companies, Inc. 013092AG6 140000.00000000 PA USD 133229.60000000 0.028539932828 Long DBT CORP US N 2 2029-03-15 Fixed 0.03500000 N N N N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T, Inc. 00206RDC3 92000.00000000 PA USD 100910.63000000 0.021616687296 Long DBT CORP US N 2 2024-04-01 Fixed 0.04450000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46625H100 11036.00000000 NS USD 1680010.28000000 0.359885344864 Long EC CORP US N 1 N N N Mettler-Toledo International Inc. 5493000BD5GJNUDIUG10 Mettler-Toledo International, Inc. 592688105 143.00000000 NS USD 165263.67000000 0.035402148177 Long EC CORP US N 1 N N N Antero Resources Corporation APVBKPOULHUX7YZLKU17 Antero Resources Corporation 03674XAJ5 75000.00000000 PA USD 75057.75000000 0.016078582711 Long DBT CORP US N 2 2025-03-01 Fixed 0.05000000 N N N N N N The Gap, Inc. T2ZG1WRWZ4BUCMQL9224 Gap, Inc. 364760AM0 40000.00000000 PA USD 44790.00000000 0.009594741644 Long DBT CORP US N 2 2025-05-15 Fixed 0.08625000 N N N N N N JPMorgan Chase & Co. N/A Ligado Networks, LLC 53225HAA8 35000.00000000 PA USD 32794.01000000 0.007025006774 Long DBT CORP US N 3 2023-11-01 None 0.00000000 N N Y N N N Federation Nationale du Credit Agricole 969500TJ5KRTCJQWXH05 Credit Agricole SA 225313AM7 45000.00000000 PA USD 46260.54000000 0.009909755070 Long DBT CORP FR N 2 2030-01-14 Fixed 0.03250000 N N N N N N TTM Technologies, Inc. 549300SC4BDOIS008048 TTM Technologies, Inc. 87305R109 20310.00000000 NS USD 294495.00000000 0.063085586973 Long EC CORP US N 1 N N N Lehman Brothers Holdings, Inc. N/A Structured Adjustable Rate Mortgage Loan Trust 863579UU0 79865.96800000 PA USD 74608.54000000 0.015982354672 Long ABS-CBDO CORP US N 2 2035-07-25 Variable 0.03222700 N N N N N N Amphenol Corporation 549300D3L3G0R4U4VT04 Amphenol Corporation 032095101 5064.00000000 NS USD 334072.08000000 0.071563636932 Long EC CORP US N 1 N N N Talen Energy Corporation K5K33XN0PQAU1XF7NN66 Talen Energy Supply, LLC 87422VAJ7 65000.00000000 PA USD 65812.50000000 0.014098100791 Long DBT CORP US N 2 2028-06-01 Fixed 0.07625000 N N N N N N CIT Group Inc. N/A IndyMac INDA Mortgage Loan Trust 45662BAA7 706660.15300000 PA USD 680815.54000000 0.145841688184 Long ABS-CBDO CORP US N 2 2036-08-25 Variable 0.03109800 N N N N N N CCI BUYER INC 254900TMV7DAFRQALU04 CCI Buyer, Inc., Term Loan N/A 135000.00000000 PA USD 135126.90000000 0.028946365141 Long DBT CORP US N 2 2027-12-17 Floating 0.04750000 N N N N N N Equitrans Midstream Corporation 549300NELT611CL6XM83 EQM Midstream Partners, LP 26885BAE0 40000.00000000 PA USD 39900.00000000 0.008547224639 Long DBT CORP US N 2 2048-07-15 Fixed 0.06500000 N N N N N N LyondellBasell Industries N.V. BN6WCCZ8OVP3ITUUVN49 LyondellBasell Industries NV N53745100 2115.00000000 NS USD 220065.75000000 0.047141639116 Long EC CORP NL N 1 N N N Old Republic International Corporation N/A Old Republic International Corporation 680223104 2342.00000000 NS USD 51149.28000000 0.010957002163 Long EC CORP US N 1 N N N CenterPoint Energy, Inc. 21TPXMRRHFKOBHDC8J74 CenterPoint Energy, Inc. 15189TAW7 34000.00000000 PA USD 35649.39000000 0.007636675303 Long DBT CORP US N 2 2024-09-01 Fixed 0.02500000 N N N N N N Primo Water Corporation 5493005TMUI9D3MY9I37 Primo Water Corporation 74167P108 23210.00000000 NS USD 377394.60000000 0.080844020651 Long EC CORP CA N 1 N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 30-Yr. Pass Through 01F020646 2050000.00000000 PA USD 2046156.27000000 0.438319731517 Long ABS-MBS USGSE US N 2 2051-04-01 Fixed 0.02000000 N N N N N N Air Lease Corporation 5493004NW4M4P8TMMK63 Air Lease Corporation 00914AAF9 32000.00000000 PA USD 32685.04000000 0.007001663640 Long DBT CORP US N 2 2025-02-01 Fixed 0.02300000 N N N N N N Intuit Inc. VI90HBPH7XSFMB9E4M29 Intuit, Inc. 46124HAB2 35000.00000000 PA USD 34728.23000000 0.007439347948 Long DBT CORP US N 2 2025-07-15 Fixed 0.00950000 N N N N N N Howmet Aerospace Inc. 549300HO5WFZUT5N2T22 Howmet Aerospace, Inc. 443201AA6 80000.00000000 PA USD 92700.00000000 0.019857837696 Long DBT CORP US N 2 2025-05-01 Fixed 0.06875000 N N N N N N CD&R WATERWORKS MERGER 549300ZSLF8Q660SCD17 Core and Main, LP, Term Loan N/A 478912.50000000 PA USD 476613.72000000 0.102098359177 Long DBT CORP US N 2 2024-08-01 Floating 0.03750000 N N N N N N Aircastle Limited 549300PNK8AKY3OIKP58 Aircastle, Ltd. 00928QAP6 80000.00000000 PA USD 85268.41000000 0.018265871051 Long DBT CORP BM N 2 2023-04-01 Fixed 0.05000000 N N N N N N CF Industries Holdings, Inc. 529900CG8YAQFZ2JMV97 CF Industries Holdings, Inc. 125269100 11584.00000000 NS USD 525681.92000000 0.112609560382 Long EC CORP US N 1 N N N Roper Technologies, Inc. 54930003T4SXCIWVXY35 Roper Technologies, Inc. 776743AH9 33000.00000000 PA USD 34492.43000000 0.007388835778 Long DBT CORP US N 2 2024-09-15 Fixed 0.02350000 N N N N N N Charter Communications, Inc. N/A Charter Communications Operating, LLC 161175BR4 67000.00000000 PA USD 77011.07000000 0.016497015414 Long DBT CORP US N 2 2029-03-30 Fixed 0.05050000 N N N N N N Aadvantage Loyalty IP Ltd. N/A American Airlines, Inc. 00253XAA9 105000.00000000 PA USD 109272.45000000 0.023407924237 Long DBT CORP XX N 2 2026-04-20 Fixed 0.05500000 N N N N N N Empire Community Corp 549300JM1L6KK2QFP273 Empire Communities Corporation 29163VAC7 70000.00000000 PA USD 73762.50000000 0.015801119235 Long DBT CORP CA N 2 2025-12-15 Fixed 0.07000000 N N N N N N DRAWBRIDGE SPECIAL OPPORTUNITIES FUND N/A Drawbridge Special Opportunities Fund, LP 26150TAE9 100000.00000000 PA USD 102575.62000000 0.021973355054 Long DBT CORP US N 2 2026-02-15 Fixed 0.03875000 N N N N N N Cascades Inc. N/A Cascades USA, Inc. 14739LAA0 60000.00000000 PA USD 63675.00000000 0.013640213757 Long DBT CORP XX N 2 2026-01-15 Fixed 0.05125000 N N N N N N The Home Depot, Inc. QEKMOTMBBKA8I816DO57 Home Depot, Inc. 437076102 3022.00000000 NS USD 922465.50000000 0.197607013805 Long EC CORP US N 1 N N N Union Pacific Corporation 549300LMMRSZZCZ8CL11 Union Pacific Corporation 907818FJ2 45000.00000000 PA USD 46220.15000000 0.009901102880 Long DBT CORP US N 2 2027-02-05 Fixed 0.02150000 N N N N N N Mitsubishi UFJ Financial Group, Inc. 353800V2V8PUY9TK3E06 Mitsubishi UFJ Financial Group, Inc. 606822BL7 53000.00000000 PA USD 54463.10000000 0.011666875946 Long DBT CORP JP N 2 2022-07-18 Fixed 0.02623000 N N N N N N The Williams Companies, Inc. D71FAKCBLFS2O0RBPG08 Williams Partners, LP 96950FAL8 50000.00000000 PA USD 54449.41000000 0.011663943327 Long DBT CORP US N 2 2023-11-15 Fixed 0.04500000 N N N N N N Anthem, Inc. 8MYN82XMYQH89CTMTH67 Anthem, Inc. 036752103 2483.00000000 NS USD 891272.85000000 0.190925044215 Long EC CORP US N 1 N N N AMERICAN AIRLINES INC IWUQB36BXD6OWD6X4T14 American Airlines, Inc., Term Loan N/A 840000.00000000 PA USD 859689.60000000 0.184159401794 Long DBT CORP US N 2 2028-03-24 Floating 0.00000000 N N N N N N Daimler AG 549300423Z16BB673J12 Daimler Finance North America, LLC 233851EC4 68000.00000000 PA USD 67406.97000000 0.014439662026 Long DBT CORP US N 2 2026-03-02 Fixed 0.01450000 N N N N N N Associated Banc-Corp 549300N3CIN473IW5094 Associated Banc-Corp 045487105 966.00000000 NS USD 20614.44000000 0.004415946102 Long EC CORP US N 1 N N N James River Group Holdings, Ltd. N/A James River Group Holdings, Ltd. G5005R107 5365.00000000 NS USD 244751.30000000 0.052429682755 Long EC CORP BM N 1 N N N Cenovus Energy Inc. 549300EIRQ0Z2B9C1W06 Cenovus Energy, Inc. 15135UAS8 124000.00000000 PA USD 139353.00000000 0.029851664040 Long DBT CORP CA N 2 2025-07-15 Fixed 0.05375000 N N N N N N TCI-Flatiron CLO 2016-1 Ltd. 549300EEOTVLW827QY91 TCI-Flatiron CLO, Ltd. 87230AAQ9 785000.00000000 PA USD 783689.05000000 0.167878856090 Long ABS-O CORP KY N 2 2032-01-17 Floating 0.02436220 N N N N N N Zayo Group Holdings, Inc. 529900Z6OTS7RT0V0I47 Front Range BidCo, Inc. 98919VAB1 60000.00000000 PA USD 61575.00000000 0.013190359829 Long DBT CORP US N 2 2028-03-01 Fixed 0.06125000 N N N N N N PRECISION MEDICINE GROUP 5493005RG0LYTBKL8W81 Precision Medicine Group, LLC, Delayed Draw N/A 64038.46000000 PA USD 63518.47000000 0.013606682502 Long DBT CORP US N 2 2027-11-20 Floating 0.00000000 N N N N N N Intercontinental Exchange, Inc. 5493000F4ZO33MV32P92 Intercontinental Exchange, Inc. 45866FAM6 34000.00000000 PA USD 34091.13000000 0.007302870835 Long DBT CORP US N 2 2023-06-15 Fixed 0.00700000 N N N N N N Essential Properties Realty Trust, Inc. N/A Essential Properties Realty Trust, Inc. 29670E107 7528.00000000 NS USD 171864.24000000 0.036816096912 Long EC CORP US N 1 N N N General Electric Company 549300XAGH9TOLX5XM67 GE Capital Funding, LLC 36166NAD5 22000.00000000 PA USD 24513.79000000 0.005251249872 Long DBT CORP US N 2 2027-05-15 Fixed 0.04050000 N N N N N N Berkshire Hathaway Inc. 5493000C01ZX7D35SD85 Berkshire Hathaway, Inc. 084670702 1749.00000000 NS USD 446817.03000000 0.095715426772 Long EC CORP US N 1 N N N Arch Capital Group Ltd. 549300AYR4P8AFKDCE43 Arch Capital Group, Ltd. G0450A105 8225.00000000 NS USD 315593.25000000 0.067605172995 Long EC CORP BM N 1 N N N MERCER INTL INC 549300Z5IAG39VRTY874 Mercer International, Inc. 588056BA8 70000.00000000 PA USD 72520.00000000 0.015534955660 Long DBT CORP US N 2 2029-02-01 Fixed 0.05125000 N N N N N N Extra Space Storage Inc. N/A Extra Space Storage, Inc. 30225T102 104.00000000 NS USD 13785.20000000 0.002953012558 Long EC CORP US N 1 N N N BlackRock, Inc. G737UEA5SJ50G32LUQ88 BlackRock Enhanced Equity Dividend Trust 09251A104 4793.00000000 NS USD 45341.78000000 0.009712941835 Long RF US N 1 N N N NuVasive, Inc. 549300C5ZB4NZ6TWM881 NuVasive, Inc. 670704105 5017.00000000 NS USD 328914.52000000 0.070458804252 Long EC CORP US N 1 N N N Royal Caribbean Cruises Ltd. K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises, Ltd. 780153BC5 100000.00000000 PA USD 110193.00000000 0.023605120920 Long DBT CORP LR N 2 2023-06-15 Fixed 0.09125000 N N N N N N TC Energy Corporation N/A TransCanada Trust 89356BAB4 175000.00000000 PA USD 190750.00000000 0.040861731829 Long DBT CORP CA N 2 2076-08-15 Variable 0.05875000 N N N N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38141GXL3 67000.00000000 PA USD 67012.06000000 0.014355065924 Long DBT CORP US N 2 2023-11-17 Variable 0.00627000 N N N N N N NICE Ltd. 254900YTY4EF5Z4W0A51 Nice, Ltd. ADR 653656108 1175.00000000 NS USD 256114.75000000 0.054863917337 Long EC CORP IL N 1 N N N Microchip Technology Incorporated 5493007PTFULNYZJ1R12 Microchip Technology, Inc., Convertible 595017AF1 73000.00000000 PA USD 166075.00000000 0.035575948171 Long DBT CORP US N 2 2027-02-15 Fixed 0.01625000 N N N N Y Microchip Technology Inc Microchip Technology Inc USD XXXX N N N ARD Holdings S.A. N/A Ardagh Packaging Finance plc 03969AAP5 100000.00000000 PA USD 102008.00000000 0.021851761680 Long DBT CORP XX N 2 2027-08-15 Fixed 0.05250000 N N N N N N Healthpeak Properties, Inc. PZ9HF5U52KPF0MH0QN75 Healthpeak Properties, Inc. 40414LAN9 46000.00000000 PA USD 50846.13000000 0.010892062535 Long DBT CORP US N 2 2025-06-01 Fixed 0.04000000 N N N N N N Dell Technologies Inc. N/A Diamond 1 Finance Corporation 25272KAG8 97000.00000000 PA USD 106007.10000000 0.022708433511 Long DBT CORP US N 2 2023-06-15 Fixed 0.05450000 N N N N N N Nordstrom, Inc. 549300S3IZB5P35KNV16 Nordstrom, Inc. 655664100 3984.00000000 NS USD 150874.08000000 0.032319665515 Long EC CORP US N 1 N N N GMACM Home Equity Loan Trust 2005-HE1 N/A GMAC Mortgage Corporation Loan Trust 361856EB9 24851.85200000 PA USD 31842.74000000 0.006821229371 Long ABS-CBDO CORP US N 2 2035-08-25 Floating 0.00608630 N N N N N N Transocean Ltd. N/A Transocean Guardian, Ltd. 893800AA0 50751.15000000 PA USD 44407.26000000 0.009512752552 Long DBT CORP KY N 2 2024-01-15 Fixed 0.05875000 N N N N N N Leggett & Platt, Incorporated DKOVQUCDW4ZLYCUD4T55 Leggett & Platt, Inc. 524660107 8012.00000000 NS USD 365747.80000000 0.078349087921 Long EC CORP US N 1 N N N First Busey Corporation 549300X4ZNLYSX7GUY60 First Busey Corporation 319383204 1922.00000000 NS USD 49299.30000000 0.010560706558 Long EC CORP US N 1 N N N CNT HOLDINGS I CORP N/A CNT Holdings I Corporation, Term Loan N/A 95000.00000000 PA USD 95950.00000000 0.020554040204 Long DBT CORP US N 3 2028-11-06 Floating 0.07500000 N N N N N N ROYALTY PHARMA PLC 549300FGFN7VOK8BZR03 Royalty Pharma plc 78081BAB9 105000.00000000 PA USD 102828.18000000 0.022027457487 Long DBT CORP GB N 2 2025-09-02 Fixed 0.01200000 N N N N N N MMMK Development, Inc N/A Revolve Group, Inc. 76156B107 87.00000000 NS USD 3908.91000000 0.000837351675 Long EC CORP US N 1 N N N Medtronic plc 549300GX3ZBSQWUXY261 Medtronic plc G5960L103 12257.00000000 NS USD 1447919.41000000 0.310167730761 Long EC CORP US N 1 N N N Independent Bank Corporation N/A Independent Bank Corporation 453838609 433.00000000 NS USD 10236.12000000 0.002192742282 Long EC CORP US N 1 N N N FRONTIER COMMUNICATIONS 549300ZCZ76HYCS0H445 Frontier Communications Corporation 35906ABG2 25000.00000000 PA USD 26367.50000000 0.005648344503 Long DBT CORP US N 2 2029-05-01 Fixed 0.06750000 N N N N N N Morgan Stanley & Co N/A CBOT 10-Yr. U.S. Treasury Note N/A 20.00000000 NC USD -5992.00000000 -0.00128358320 N/A DIR CORP US N 1 Morgan Stanley & Company N/A Long United States Department of The Treasury United States Treasury Note/Bond 2021-06-22 2624742.00000000 USD -5992.00000000 N N N ASURION LLC 549300KNQVXGIOXWK278 Asurion, LLC, Term Loan N/A 214462.50000000 PA USD 212969.84000000 0.045621580550 Long DBT CORP US N 2 2026-12-23 Floating 0.03358500 N N N N N N Samsung Electronics Co., Ltd. 9884007ER46L6N7EI764 Samsung Electronics Company, Ltd. GDR 796050888 456.00000000 NS USD 831371.13000000 0.178093127995 Long EC CORP KR N 2 N N N Public Storage 549300LMZF40TKJ6DM64 Public Storage, 4.125% 74460W537 6150.00000000 NS USD 158731.50000000 0.034002851826 Long EP CORP US N 1 N N N Southwestern Energy Company EFWMP121W54QV9MGOP87 Southwestern Energy Company 845467AM1 75000.00000000 PA USD 79351.50000000 0.016998373333 Long DBT CORP US N 2 2026-04-01 Fixed 0.07500000 N N N N N N Independence Realty Trust, Inc. 549300Z3L8NU44NQEB29 Independence Realty Trust, Inc. 45378A106 12168.00000000 NS USD 184953.60000000 0.039620049301 Long EC CORP US N 1 N N N Hess Corporation UASVRYNXNK17ULIGK870 Hess Corporation 42809HAF4 28000.00000000 PA USD 29540.61000000 0.006328075931 Long DBT CORP US N 2 2024-07-15 Fixed 0.03500000 N N N N N N Endo International plc N/A Endo Finance, LLC 29273DAB6 50000.00000000 PA USD 54312.50000000 0.011634614993 Long DBT CORP XX N 2 2027-07-31 Fixed 0.09500000 N N N N N N HCP ACQUISITION LLC N/A HCP Acquisition, LLC, Term Loan N/A 684442.76000000 PA USD 682936.99000000 0.146296137049 Long DBT CORP US N 2 2024-05-16 Floating 0.03750000 N N N N N N Anthem, Inc. 8MYN82XMYQH89CTMTH67 Anthem, Inc. 036752AP8 45000.00000000 PA USD 45007.40000000 0.009641312236 Long DBT CORP US N 2 2031-03-15 Fixed 0.02550000 N N N N N N Expedia Group, Inc. N/A Expedia Group, Inc. 30212P303 2028.00000000 NS USD 349059.36000000 0.074774154448 Long EC CORP US N 1 N N N Illumina, Inc. SQ95QG8SR5Q56LSNF682 Illumina, Inc., Convertible 452327AH2 24000.00000000 PA USD 36090.00000000 0.007731061083 Long DBT CORP US N 2 2021-06-15 Fixed 0.00500000 N N N N Y Illumina Inc Illumina Inc USD XXXX N N N Viemed Healthcare, Inc. N/A Viemed Healthcare, Inc. 92663R105 14116.00000000 NS USD 142853.92000000 0.030601617666 Long EC CORP CA N 1 N N N ViacomCBS Inc. 5KYC8KF17ROCY24M3H09 Viacom, Inc. 92553PBD3 44000.00000000 PA USD 44717.64000000 0.009579240963 Long DBT CORP US N 2 2057-02-28 Variable 0.05875000 N N N N N N Best Buy Co., Inc. HL5XPTVRV0O8TUN5LL90 Best Buy Company, Inc. 08652BAB5 45000.00000000 PA USD 42386.05000000 0.009079776715 Long DBT CORP US N 2 2030-10-01 Fixed 0.01950000 N N N N N N Societe Generale Societe anonyme O2RNE8IBXP4R0TD8PU41 Societe Generale SA 83368RAZ5 41000.00000000 PA USD 40287.39000000 0.008630209836 Long DBT CORP FR N 2 2026-12-14 Variable 0.01488000 N N N N N N Ciena Corporation W0CZ7N0GH8UIGXDM1H41 Ciena Corporation 171779309 9568.00000000 NS USD 523560.96000000 0.112155216483 Long EC CORP US N 1 N N N MidWestOne Financial Group, Inc. N/A MidWestOne Financial Group, Inc. 598511103 2789.00000000 NS USD 86375.33000000 0.018502991198 Long EC CORP US N 1 N N N Societe Generale Societe anonyme O2RNE8IBXP4R0TD8PU41 Societe Generale SA 83368JFA3 84000.00000000 PA USD 98515.20000000 0.021103547489 Long DBT CORP FR N 2 2025-09-29 Variable 0.08000000 N N N N N N BlackRock, Inc. 549300YX74JNY54XCY80 iShares S&P U.S. Preferred Stock Index Fund 464288687 8000.00000000 NS USD 307200.00000000 0.065807203240 Long RF US N 1 N N Air Lease Corporation 5493004NW4M4P8TMMK63 Air Lease Corporation 00912X302 8419.00000000 NS USD 412531.00000000 0.088370805208 Long EC CORP US N 1 N N N American Axle & Manufacturing Holdings, Inc. RY5TAKFOBLDUGX31MS24 American Axle & Manufacturing, Inc. 02406PAU4 110000.00000000 PA USD 114125.00000000 0.024447418847 Long DBT CORP US N 2 2027-04-01 Fixed 0.06500000 N N N N N BlackRock, Inc. 97ZR60BLU36N5VJMH054 BlackRock Corporate High Yield Fund, Inc. 09255P107 6415.00000000 NS USD 75312.10000000 0.016133068591 Long RF US N 1 N N N REAL HERO MERGER SUB 2 N/A Real Hero Merger Sub 2, Inc. 75602BAA7 50000.00000000 PA USD 51625.00000000 0.011058909073 Long DBT CORP US N 2 2029-02-01 Fixed 0.06250000 N N N N N N CHOBANI LLC 549300ISVDMZ91KNTR38 Chobani, LLC, Term Loan N/A 268650.00000000 PA USD 268247.03000000 0.057462847727 Long DBT CORP US N 2 2027-10-23 Floating 0.04500000 N N N N N N Ares Management Corporation WEQ82666OJYSI5GUAB47 Ares Capital Corporation, Convertible 04010LAW3 58000.00000000 PA USD 63040.20000000 0.013504229341 Long DBT CORP US N 2 2024-03-01 Fixed 0.04625000 N N N N Y Ares Capital Corp Ares Capital Corp USD XXXX N N N PIONEER NATURAL RESOURCE FY8JBF7CCL2VE4F1B628 Pioneer Natural Resources Company 723787AQ0 68000.00000000 PA USD 63108.31000000 0.013518819603 Long DBT CORP US N 2 2030-08-15 Fixed 0.01900000 N N N N N N The Home Depot, Inc. QEKMOTMBBKA8I816DO57 Home Depot, Inc. 437076BY7 45000.00000000 PA USD 47709.84000000 0.010220218546 Long DBT CORP US N 2 2029-06-15 Fixed 0.02950000 N N N N N N British American Tobacco p.l.c. 2138005GYEXN7XRHFA84 BAT Capital Corporation 05526DAZ8 56000.00000000 PA USD 59660.36000000 0.012780213007 Long DBT CORP US N 2 2024-08-15 Fixed 0.03222000 N N N N N N TRIANGLE RE 2019-1 Limited N/A Genworth Mortgage Insurance Corporation 89600TAA1 175000.00000000 PA USD 175243.30000000 0.037539946157 Long ABS-CBDO CORP US N 2 2029-11-26 Floating 0.02008600 N N N N N N Centennial Resource Development, Inc. 5493004CTVUMQLRPOE23 Centennial Resource Production, LLC 15138AAC4 70000.00000000 PA USD 62300.00000000 0.013345666542 Long DBT CORP US N 2 2027-04-01 Fixed 0.06875000 N N N N N N Workhorse Group Inc. 5493006JUAG258V8X854 Workhorse Group, Inc. 98138J206 1760.00000000 NS USD 24235.20000000 0.005191571393 Long EC CORP US N 1 N N Dell Technologies Inc. 549300BUDHS3LRWBE814 VMware, Inc. 928563402 1157.00000000 NS USD 174070.65000000 0.037288745582 Long EC CORP US N 1 N N Exxon Mobil Corporation J3WHBG0MTS7O8ZVMDC91 Exxon Mobil Corporation 30231GBH4 90000.00000000 PA USD 96442.51000000 0.020659543804 Long DBT CORP US N 2 2025-03-19 Fixed 0.02992000 N N N N N N Oracle Corporation 1Z4GXXU7ZHVWFCD8TV52 Oracle Corporation 68389XBT1 112000.00000000 PA USD 117680.37000000 0.025209036543 Long DBT CORP US N 2 2025-04-01 Fixed 0.02500000 N N N N N N GATX Corporation 549300IHYHCQP2PIR591 GATX Corporation 361448103 505.00000000 NS USD 46833.70000000 0.010032535203 Long EC CORP US N 1 N N N Verisk Analytics, Inc. 549300I1YSWNIRKBWP67 Verisk Analytics, Inc. 92345Y106 1076.00000000 NS USD 190118.44000000 0.040726441474 Long EC CORP US N 1 N N N Federal Home Loan Mortgage Corporation N/A Federal Home Loan Mortgage Corporation - REMIC 3137AQGC6 583373.72400000 PA USD 31146.32000000 0.006672044955 Long ABS-CBDO USGSE US N 2 2027-05-15 Fixed 0.03000000 N N N N N N Nabors Industries Ltd. N/A Nabors Industries, Ltd. 629571AA8 60000.00000000 PA USD 49800.00000000 0.010667964587 Long DBT CORP BM N 2 2026-01-15 Fixed 0.07250000 N N N N N N Innovative Industrial Properties, Inc. 5493008BQ0545EZXRR30 Innovative Industrial Properties, Inc. 45781V101 489.00000000 NS USD 88098.24000000 0.018872066356 Long EC CORP US N 1 N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company 95000U2L6 90000.00000000 PA USD 103641.19000000 0.022201617364 Long DBT CORP US N 2 2031-04-04 Variable 0.04478000 N N N N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38141GWQ3 49000.00000000 PA USD 52580.42000000 0.011263575473 Long DBT CORP US N 2 2025-09-29 Variable 0.03272000 N N N N N N Lamb Weston Holdings, Inc. 5493005SMYID1D2OY946 Lamb Weston Holdings, Inc. 513272104 5535.00000000 NS USD 428851.80000000 0.091866984253 Long EC CORP US N 1 N N N Anthem, Inc. 8MYN82XMYQH89CTMTH67 Anthem, Inc. 036752AJ2 79000.00000000 PA USD 82564.73000000 0.017686699113 Long DBT CORP US N 2 2025-01-15 Fixed 0.02375000 N N N N N N O'Reilly Automotive, Inc. 549300K2RLMQL149Q332 O'Reilly Automotive, Inc. 67103HAH0 67000.00000000 PA USD 73419.84000000 0.015727715927 Long DBT CORP US N 2 2029-06-01 Fixed 0.03900000 N N N N N N Skymiles Ip Ltd. & Delta Air Lines Inc. N/A Delta Air Lines, Inc. 830867AA5 95882.00000000 PA USD 102344.27000000 0.021923796147 Long DBT CORP US N 2 2025-10-20 Fixed 0.04500000 N N N N N N Mohawk Industries, Inc. 549300JI1115MG3Q6322 Mohawk Industries, Inc. 608190104 1145.00000000 NS USD 220194.95000000 0.047169315843 Long EC CORP US N 1 N N N The Boeing Company RVHJWBXLJ1RFUBSY1F30 Boeing Company 097023105 767.00000000 NS USD 195370.24000000 0.041851461884 Long EC CORP US N 1 N N N Rite Aid Corporation 529900W353T1JY1DKT44 Rite Aid Corporation 767754CK8 35000.00000000 PA USD 36356.25000000 0.007788096135 Long DBT CORP US N 2 2025-07-01 Fixed 0.07500000 N N N N N N Becton, Dickinson and Company ICE2EP6D98PQUILVRZ91 Becton, Dickinson and Company 075887CJ6 67000.00000000 PA USD 68685.67000000 0.014713580225 Long DBT CORP US N 2 2030-05-20 Fixed 0.02823000 N N N N N N Patrick Industries, Inc. 549300FZ5ZTCCJ3Z5W14 Patrick Industries, Inc., Convertible 703343AB9 78000.00000000 PA USD 90967.50000000 0.019486708205 Long DBT CORP US N 2 2023-02-01 Fixed 0.01000000 N N N N Y Patrick Industries Inc Patrick Industries Inc USD XXXX N N N Boston Properties, Inc. BVHHEFJI6SHNOKQT2572 Boston Properties, LP 10112RBE3 45000.00000000 PA USD 43140.50000000 0.009241392094 Long DBT CORP US N 2 2032-04-01 Fixed 0.02550000 N N N N N N Porsche Automobil Holding SE 5493002SQ1AVQBY41K40 Volkswagen Group of America Finance, LLC 928668BE1 17000.00000000 PA USD 18253.10000000 0.003910108924 Long DBT CORP US N 2 2025-05-13 Fixed 0.03350000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association 3140Q83V5 174981.55400000 PA USD 190993.41000000 0.040913874184 Long ABS-MBS USGSE US N 2 2048-05-01 Fixed 0.04500000 N N N N N N MercadoLibre, Inc. 549300DKPDN9M5S8GB14 Mercadolibre, Inc. 58733R102 162.00000000 NS USD 238486.68000000 0.051087699938 Long EC CORP US N 1 N N N Fox Corporation 549300DDU6FDRBIELS05 Fox Corporation 35137LAG0 76000.00000000 PA USD 82552.99000000 0.017684184215 Long DBT CORP US N 2 2024-01-25 Fixed 0.04030000 N N N N N N American Tower Corporation (REIT) 5493006ORUSIL88JOE18 American Tower Corporation 03027XAT7 50000.00000000 PA USD 53605.84000000 0.011483237004 Long DBT CORP US N 2 2024-05-15 Fixed 0.03375000 N N N N N N Winnebago Industries, Inc. 549300B7OYKYJLTE3G11 Winnebago Industries, Inc., Convertible 974637AB6 139000.00000000 PA USD 192515.00000000 0.041239823345 Long DBT CORP US N 2 2025-04-01 Fixed 0.01500000 N N N N Y Winnebago Industries Inc Winnebago Industries Inc USD XXXX N N N OZLM IX Ltd N/A OZLM IX, Ltd. 67109KBA1 425000.00000000 PA USD 425078.63000000 0.091058710278 Long ABS-O CORP KY N 2 2031-10-20 Floating 0.01774000 N N N N N N Frontier Communications Corporation 549300ZCZ76HYCS0H445 Frontier Communications Corporation 35906ABE7 60000.00000000 PA USD 63600.00000000 0.013624147545 Long DBT CORP US N 2 2027-10-15 Fixed 0.05875000 N N N N N N Weatherford International plc 549300A2JKMG5PGOGF82 Weatherford International, Ltd. 947075AP2 60000.00000000 PA USD 57600.00000000 0.012338850607 Long DBT CORP BM N 2 2024-12-01 Fixed 0.11000000 N N N N N N PepsiCo, Inc. FJSUNZKFNQ5YPJ5OT455 PepsiCo, Inc. 713448108 352.00000000 NS USD 49790.40000000 0.010665908112 Long EC CORP US N 1 N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280BP3 91000.00000000 PA USD 102033.75000000 0.021857277746 Long DBT CORP GB N 2 2028-03-23 Variable 0.06500000 N N N N N N Entergy Corporation 4XM3TW50JULSLG8BNC79 Entergy Corporation 29364GAN3 45000.00000000 PA USD 43949.58000000 0.009414710102 Long DBT CORP US N 2 2028-06-15 Fixed 0.01900000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46647PBK1 31000.00000000 PA USD 31839.00000000 0.006820428203 Long DBT CORP US N 2 2026-04-22 Variable 0.02083000 N N N N N N Centene Corporation 549300Z7JJ4TQSQGT333 Centene Corporation 15135BAR2 40000.00000000 PA USD 42075.05000000 0.009013155490 Long DBT CORP US N 2 2027-12-15 Fixed 0.04250000 N N N N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280CN7 112000.00000000 PA USD 110740.00000000 0.023722297157 Long DBT CORP GB N 2 2030-12-17 Variable 0.04600000 N N N N N N LCPR Senior Secured Financing DAC 549300LE5FM8IKMXSP90 LCPR Senior Secured Financing DAC 50201DAA1 60000.00000000 PA USD 63969.00000000 0.013703193307 Long DBT CORP IE N 2 2027-10-15 Fixed 0.06750000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46647PAE6 99000.00000000 PA USD 101381.52000000 0.021717559542 Long DBT CORP US N 2 2023-04-25 Variable 0.02776000 N N N N N N Edison International 549300I7ROF15MAEVP56 Edison International 281020AR8 54000.00000000 PA USD 60275.59000000 0.012912005213 Long DBT CORP US N 2 2025-04-15 Fixed 0.04950000 N N N N N N HARVEST MIDSTREAM I LP 549300DW5M17KJOXCY66 Harvest Midstream, LP 417558AA1 80000.00000000 PA USD 85976.00000000 0.018417448261 Long DBT CORP US N 2 2028-09-01 Fixed 0.07500000 N N N N N N Broadcom Inc. 549300WV6GIDOZJTV909 Broadcom, Ltd. 11135F101 1142.00000000 NS USD 529499.72000000 0.113427394824 Long EC CORP SG N 1 N N N Omega Healthcare Investors, Inc. 549300OJ7ENK42CZ8E73 Omega Healthcare Investors, Inc. 681936BH2 34000.00000000 PA USD 38435.04000000 0.008233406539 Long DBT CORP US N 2 2026-01-15 Fixed 0.05250000 N N N N N N Akamai Technologies, Inc. OC1LZNN2LF5WTJ5RIL89 Akamai Technologies, Inc., Convertible 00971TAL5 274000.00000000 PA USD 297118.75000000 0.063647636614 Long DBT CORP US N 2 2027-09-01 Fixed 0.00375000 N N N N Y Akamai Technologies Inc Akamai Technologies Inc USD XXXX N N N American Electric Power Company, Inc. 1B4S6S7G0TW5EE83BO58 American Electric Power Company, Inc., Convertible, 6.125% 025537127 736.00000000 NS USD 35519.36000000 0.007608820776 Long EP CORP US N 1 N N N The Mosaic Company 2YD5STGSJNMUB7H76907 Mosaic Company 61945CAF0 15000.00000000 PA USD 15582.08000000 0.003337933286 Long DBT CORP US N 2 2022-11-15 Fixed 0.03250000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136ABC35 503005.84100000 PA USD 50832.92000000 0.010889232740 Long ABS-CBDO USGSE US N 2 2033-02-25 Fixed 0.03000000 N N N N N N Nielsen Holdings plc N/A Nielsen Finance, LLC 65409QBD3 30000.00000000 PA USD 31537.50000000 0.006755842031 Long DBT CORP US N 2 2028-10-01 Fixed 0.05625000 N N N N N N Conns Receivables Funding 2020-A LLC N/A Conn's Receivables Funding 20825XAA6 49769.11000000 PA USD 49932.78000000 0.010696408209 Long ABS-O CORP US N 2 2025-06-16 Fixed 0.01710000 N N N N N N Realogy Holdings Corp. N/A Realogy Group, LLC 75606DAL5 90000.00000000 PA USD 88762.50000000 0.019014361580 Long DBT CORP US N 2 2029-01-15 Fixed 0.05750000 N N N N N N Alliant Energy Corporation 5493009ML300G373MZ12 Alliant Energy Corporation 018802108 9257.00000000 NS USD 501359.12000000 0.107399223653 Long EC CORP US N 1 N N N Spectrum Brands Holdings, Inc. 549300VU3EH2E73C1Q04 Spectrum Brands, Inc. 84762LAV7 50000.00000000 PA USD 52750.00000000 0.011299902249 Long DBT CORP US N 2 2029-10-01 Fixed 0.05000000 N N N N N N The Walt Disney Company 549300GZKULIZ0WOW665 Walt Disney Company 254687106 3252.00000000 NS USD 600059.04000000 0.128542341151 Long EC CORP US N 1 N N N Teleflex Incorporated UUL85LWXB4NGSWWXIQ25 Teleflex, Inc. 879369AF3 120000.00000000 PA USD 127050.00000000 0.027216162668 Long DBT CORP US N 2 2027-11-15 Fixed 0.04625000 N N N N N N MultiPlan Corporation 5493002WXOPRPTXWTU06 MPH Acquisition Holdings, LLC 553283AC6 60000.00000000 PA USD 58500.00000000 0.012531645148 Long DBT CORP US N 2 2028-11-01 Fixed 0.05750000 N N N N N CNH Industrial N.V. 549300PNSJ5B81UMVO28 CNH Industrial Capital, LLC 12592BAK0 20000.00000000 PA USD 20537.51000000 0.004399466453 Long DBT CORP US N 2 2023-07-02 Fixed 0.01950000 N N N N N N Fortive Corporation 549300MU9YQJYHDQEF63 Fortive Corporation, Convertible, 5.000% 34959J207 243.00000000 NS USD 241921.08000000 0.051823403905 Long EP CORP US N 1 N N N Herbalife Nutrition Ltd. N/A HLF Financing SARL, LLC 40390DAA3 70000.00000000 PA USD 73325.00000000 0.015707399666 Long DBT CORP US N 2 2026-08-15 Fixed 0.07250000 N N N N N N Radian Group Inc. 54930005OUP720S5U385 Radian Group, Inc. 750236101 13628.00000000 NS USD 316851.00000000 0.067874603365 Long EC CORP US N 1 N N N Alleghany Corporation 549300DCJE6AYX159479 Alleghany Corporation 017175100 2.00000000 NS USD 1252.58000000 0.000268322873 Long EC CORP US N 1 N N N Booking Holdings Inc. FXM8FAOHMYDIPD38UZ17 Booking Holdings, Inc., Convertible 741503AX4 40000.00000000 PA USD 46880.00000000 0.010042453411 Long DBT CORP US N 2 2021-09-15 Fixed 0.00900000 N N N N Y Booking Holdings Inc Booking Holdings Inc USD XXXX N N N Nutrien Ltd. 5493002QQ7GD21OWF963 Nutrien, Ltd. 67077MAE8 45000.00000000 PA USD 50435.45000000 0.010804088244 Long DBT CORP CA N 2 2026-12-15 Fixed 0.04000000 N N N N N N Devon Energy Corporation 54930042348RKR3ZPN35 Devon Energy Corporation 25179MAV5 35000.00000000 PA USD 40810.88000000 0.008742349852 Long DBT CORP US N 2 2025-12-15 Fixed 0.05850000 N N N N N N The Vanguard Group, Inc. N/A Vanguard Intermediate-Term Corporate Bond ETF 92206C870 30000.00000000 NS USD 2790900.00000000 0.597855870847 Long RF US N 1 N N N CSX Corporation 549300JVQR4N1MMP3Q88 CSX Corporation 126408HM8 45000.00000000 PA USD 51107.53000000 0.010948058638 Long DBT CORP US N 2 2029-03-15 Fixed 0.04250000 N N N N N N Sound Point Clo X, Ltd. 5493004LEP80CTDZQ594 Sound Point CLO X, Ltd. 83609WAW0 400000.00000000 PA USD 400246.00000000 0.085739159727 Long ABS-O CORP KY N 2 2028-01-20 Floating 0.02924000 N N N N N N Energy Transfer LP 5493008K8W3OKZE54J59 Energy Transfer Operating, LP 29278NAQ6 67000.00000000 PA USD 69074.85000000 0.014796948869 Long DBT CORP US N 2 2030-05-15 Fixed 0.03750000 N N N N N N Financial Institutions, Inc. N/A Financial Institutions, Inc. 317585404 370.00000000 NS USD 11207.30000000 0.002400784729 Long EC CORP US N 1 N N N EnLink Midstream, LLC 88CPW63VL7KHJWS0NY83 EnLink Midstream Partners, LP 29336UAF4 70000.00000000 PA USD 67622.10000000 0.014485746348 Long DBT CORP US N 2 2026-07-15 Fixed 0.04850000 N N N N N N Teladoc Health, Inc. 549300I2PVFBC9MFAC61 Teladoc Health, Inc. 87918A105 1733.00000000 NS USD 314972.75000000 0.067472251870 Long EC CORP US N 1 N N N Ares Management Corporation WEQ82666OJYSI5GUAB47 Ares Capital Corporation 04010LAV5 18000.00000000 PA USD 19310.94000000 0.004136715342 Long DBT CORP US N 2 2025-03-01 Fixed 0.04250000 N N N N N N Philip Morris International Inc. HL3H1H2BGXWVG3BSWR90 Philip Morris International, Inc. 718172109 12624.00000000 NS USD 1120253.76000000 0.239976454640 Long EC CORP US N 1 N N N Chipotle Mexican Grill, Inc. N/A Chipotle Mexican Grill, Inc. 169656105 484.00000000 NS USD 687676.88000000 0.147311498066 Long EC CORP US N 1 N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599CW3 140000.00000000 PA USD 138465.60000000 0.029661568623 Long DBT CORP US N 2 2024-08-15 Fixed 0.02900000 N N N N N N Comerica Incorporated I9Q57JVPWHHZ3ZGBW498 Comerica, Inc. 200340107 4320.00000000 NS USD 309916.80000000 0.066389185694 Long EC CORP US N 1 N N N Dolby Laboratories, Inc. 549300X04FB2QPCJ5J24 Dolby Laboratories, Inc. 25659T107 2450.00000000 NS USD 241864.00000000 0.051811176447 Long EC CORP US N 1 N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599CH6 50000.00000000 PA USD 48550.00000000 0.010400194392 Long DBT CORP US N 2 2026-04-15 Fixed 0.03400000 N N N N N N II-VI Incorporated 549300O5C25A0MMHHU33 II-VI, Inc. 902104108 2505.00000000 NS USD 171266.85000000 0.036688126322 Long EC CORP US N 1 N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie, Inc. 00287Y109 3201.00000000 NS USD 346412.22000000 0.074207094292 Long EC CORP US N 1 N N N Sound Point CLO XXI, Ltd. 5493001O6AOY43J70E72 Sound Point CLO XXI, Ltd. 83613HAC1 800000.00000000 PA USD 800072.00000000 0.171388348669 Long ABS-O CORP KY N 2 2031-10-26 Floating 0.01665200 N N N N N N Ares Management Corporation WEQ82666OJYSI5GUAB47 Ares Capital Corporation 04010LAZ6 113000.00000000 PA USD 119089.71000000 0.025510939940 Long DBT CORP US N 2 2026-01-15 Fixed 0.03875000 N N N N N N Truist Financial Corporation JJKC32MCHWDI71265Z06 Truist Bank 89788KAA4 42000.00000000 PA USD 40981.59000000 0.008778918692 Long DBT CORP US N 2 2030-03-11 Fixed 0.02250000 N N N N N N New York Mortgage Trust, Inc. 549300JFGR0M7ULHWG48 New York Mortgage Trust, Inc. 649604501 4014.00000000 NS USD 17942.58000000 0.003843590523 Long EC CORP US N 1 N N N CVS Health Corporation 549300EJG376EN5NQE29 CVS Health Corporation 126650CX6 90000.00000000 PA USD 102202.37000000 0.021893398874 Long DBT CORP US N 2 2028-03-25 Fixed 0.04300000 N N N N N N Douglas Emmett, Inc. N/A Douglas Emmett, Inc. 25960P109 6746.00000000 NS USD 211824.40000000 0.045376208796 Long EC CORP US N 1 N N N Oha Credit Funding 1, Ltd. N/A OHA Credit Funding 1, Ltd. 67115WAE0 390000.00000000 PA USD 390031.20000000 0.083550984533 Long ABS-O CORP KY N 2 2030-10-20 Floating 0.01674000 N N N N N N Synchrony Financial 549300RS7EWPM9MA6C78 Synchrony Financial 87165BAL7 90000.00000000 PA USD 96843.83000000 0.020745513031 Long DBT CORP US N 2 2026-08-04 Fixed 0.03700000 N N N N N N Apple Inc. HWUPKR0MPOU8FGXBT394 Apple, Inc. 037833AS9 122000.00000000 PA USD 132562.81000000 0.028397095637 Long DBT CORP US N 2 2024-05-06 Fixed 0.03450000 N N N N N N Dorman Products, Inc. N/A Dorman Products, Inc. 258278100 54.00000000 NS USD 5542.56000000 0.001187305899 Long EC CORP US N 1 N N N Lehman Brothers Holdings, Inc. N/A Structured Adjustable Rate Mortgage Loan Trust 863579WZ7 147716.98800000 PA USD 120276.45000000 0.025765158822 Long ABS-CBDO CORP US N 2 2035-09-25 Variable 0.03211800 N N N N N N Nissan Motor Co., Ltd. 353800DRBDH1LUTNAY26 Nissan Motor Company, Ltd. 654744AA9 54000.00000000 PA USD 56495.42000000 0.012102231725 Long DBT CORP JP N 2 2023-09-15 Fixed 0.03043000 N N N N N N Continental Resources, Inc. XXRTID9RYWOZ0UPIVR53 Continental Resources, Inc. 212015AL5 11000.00000000 PA USD 11392.70000000 0.002440500404 Long DBT CORP US N 2 2023-04-15 Fixed 0.04500000 N N N N N N Cleveland-Cliffs Inc. 549300TM2WLI2BJMDD86 Cleveland-Cliffs, Inc. 185899AH4 60000.00000000 PA USD 62100.00000000 0.013302823311 Long DBT CORP US N 2 2027-06-01 Fixed 0.05875000 N N N N N N DuPont de Nemours, Inc. 5493004JF0SDFLM8GD76 DuPont de Nemours, Inc. 26078JAD2 45000.00000000 PA USD 52303.28000000 0.011204207607 Long DBT CORP US N 2 2028-11-15 Fixed 0.04725000 N N N N N N NAVISTAR INC 4EW4JDYTYMZ6D6T42H76 Navistar, Inc., Term Loan N/A 751750.00000000 PA USD 751562.06000000 0.160996735776 Long DBT CORP US N 2 2024-11-06 Floating 0.03620000 N N N N N N Continental Resources, Inc. XXRTID9RYWOZ0UPIVR53 Continental Resources, Inc. 212015AT8 50000.00000000 PA USD 56493.00000000 0.012101713322 Long DBT CORP US N 2 2031-01-15 Fixed 0.05750000 N N N N N N Allison Transmission Holdings, Inc. MWKQ3I0U1GXP2YDSZW75 Allison Transmission, Inc 019736AG2 100000.00000000 PA USD 96875.00000000 0.020752190149 Long DBT CORP US N 2 2031-01-30 Fixed 0.03750000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 48126HAA8 84000.00000000 PA USD 88051.57000000 0.018862068888 Long DBT CORP US N 2 2023-08-01 Variable 0.06000000 N N N N N N Mattel, Inc. 549300VELLG24KHTJ564 Mattel, Inc. 577081BE1 95000.00000000 PA USD 98081.80000000 0.021010706207 Long DBT CORP US N 2 2026-04-01 Fixed 0.03375000 N N N N N N AMSTED Industries Incorporated N2VLGYMEEBIU3PFSUY86 Amsted Industries, Inc. 032177AH0 80000.00000000 PA USD 84900.00000000 0.018186951676 Long DBT CORP US N 2 2027-07-01 Fixed 0.05625000 N N N N N N PRECISION MEDICINE GROUP 5493005RG0LYTBKL8W81 Precision Medicine Group, LLC, Term Loan N/A 490961.54000000 PA USD 486974.93000000 0.104317897759 Long DBT CORP US N 2 2027-11-20 Floating 0.03750000 N N N N N N Illinois Tool Works Inc. 76NA4I14SZCFAYMNSV04 Illinois Tool Works, Inc. 452308109 275.00000000 NS USD 60918.00000000 0.013049619814 Long EC CORP US N 1 N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley, 5.850% 61762V606 5880.00000000 NS USD 167462.40000000 0.035873151666 Long EP CORP US N 1 N N N RALI Series 2007-QS1 Trust N/A Residential Accredit Loans, Inc. Trust 74922KAA3 118514.67500000 PA USD 114844.93000000 0.024601639484 Long ABS-CBDO CORP US N 2 2037-01-25 Fixed 0.06000000 N N N N N N Hancock Whitney Corporation 549300GRNBWY8HIICT41 Hancock Whitney Corporation 410120109 3336.00000000 NS USD 140145.36000000 0.030021400354 Long EC CORP US N 1 N N N NCR Corporation 549300YKTY8JX1DV2R67 NCR Corporation, Term Loan N/A 601162.50000000 PA USD 593647.97000000 0.127168986377 Long DBT CORP US N 3 2026-08-28 Floating 0.02720000 N N N N N N Selective Insurance Group, Inc. 549300R3WGJWLE40R258 Selective Insurance Group, Inc. 816300107 1511.00000000 NS USD 109607.94000000 0.023479791615 Long EC CORP US N 1 N N N ESH Hospitality, Inc. 54930042FMK7X7SQ2896 ESH Hospitality, Inc. 26907YAA2 70000.00000000 PA USD 71400.00000000 0.015295033565 Long DBT CORP US N 2 2025-05-01 Fixed 0.05250000 N N N N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie, Inc. 00287YAQ2 141000.00000000 PA USD 153609.08000000 0.032905546703 Long DBT CORP US N 2 2025-05-14 Fixed 0.03600000 N N N N N N Zoetis Inc. 549300HD9Q1LOC9KLJ48 Zoetis, Inc. 98978VAN3 68000.00000000 PA USD 75614.34000000 0.016197813282 Long DBT CORP US N 2 2028-08-20 Fixed 0.03900000 N N N N N N Western Midstream Partners, LP L6D8A6MLSY454J2JXJ60 Western Midstream Operating, LP 958254AL8 30000.00000000 PA USD 29523.60000000 0.006324432114 Long DBT CORP US N 2 2048-08-15 Fixed 0.05500000 N N N N N N Pioneer Natural Resources Company FY8JBF7CCL2VE4F1B628 Pioneer Natural Resources Company, Convertible 723787AN7 94000.00000000 PA USD 147204.00000000 0.031533475084 Long DBT CORP US N 2 2025-05-15 Fixed 0.00250000 N N N N Y Pioneer Natural Resources Co Pioneer Natural Resources Co USD XXXX N N N Element Solutions Inc 549300FLGN6P5CU20J91 Element Solutions, Inc. 28618M106 17619.00000000 NS USD 322251.51000000 0.069031479860 Long EC CORP US N 1 N N N CIT Group Inc. N/A Residential Asset Securitization Trust 45660LEW5 256369.28500000 PA USD 265181.13000000 0.056806082413 Long ABS-CBDO CORP US N 2 2035-04-25 Fixed 0.05500000 N N N N N N Morgan Stanley 5493002EIY4NK3I3E865 Eaton Vance Tax-Managed Global Diversified Equity Income Fund 27829F108 6704.00000000 NS USD 62347.20000000 0.013355777545 Long RF US N 1 N N N MetLife, Inc. C4BXATY60WC6XEOZDX54 MetLife, Inc. 59156RBT4 164000.00000000 PA USD 181630.00000000 0.038908080483 Long DBT CORP US N 2 2028-03-15 Variable 0.05875000 N N N N N Duke Realty Corporation 2549009GZDBNY1KE9O81 Duke Realty, LP 26441YBB2 67000.00000000 PA USD 74318.38000000 0.015920197712 Long DBT CORP US N 2 2028-09-15 Fixed 0.04000000 N N N N N N Credit Acceptance Corporation N/A Credit Acceptance Corporation 225310AN1 70000.00000000 PA USD 71400.00000000 0.015295033565 Long DBT CORP US N 2 2024-12-31 Fixed 0.05125000 N N N N N N Cigna Corporation 549300VIWYMSIGT1U456 Cigna Holding Company 125523100 2666.00000000 NS USD 644478.84000000 0.138057779974 Long EC CORP US N 1 N N N Meridian Bancorp, Inc. N/A Meridian Bancorp, Inc. 58958U103 7288.00000000 NS USD 134244.96000000 0.028757439344 Long EC CORP US N 1 N N N CP ATLAS BUYER INC 2549006ZZ07G0NDDCR36 CP Atlas Buyer, Inc., Term Loan N/A 410000.00000000 PA USD 406990.60000000 0.087183962015 Long DBT CORP US N 2 2027-11-23 Floating 0.04250000 N N N N N N Seagate Technology plc 529900BD50TRWEG1SF63 Seagate HDD Cayman 81180WBB6 90000.00000000 PA USD 86530.50000000 0.018536231119 Long DBT CORP KY N 2 2031-07-15 Fixed 0.03375000 N N N N N N Corteva, Inc. GLU7INWNWH88J9XBXD45 EI du Pont de Nemours & Company 263534CN7 34000.00000000 PA USD 34566.35000000 0.007404670637 Long DBT CORP US N 2 2025-07-15 Fixed 0.01700000 N N N N N N American Tower Corporation (REIT) 5493006ORUSIL88JOE18 American Tower Corporation 03027XAW0 67000.00000000 PA USD 72946.59000000 0.015626338131 Long DBT CORP US N 2 2029-08-15 Fixed 0.03800000 N N N N N N The Scotts Miracle-Gro Company 2TH9E0JTOUXOEGI2R879 Scotts Miracle-Gro Company 810186AS5 110000.00000000 PA USD 113404.50000000 0.024293076106 Long DBT CORP US N 2 2029-10-15 Fixed 0.04500000 N N N N N N Owl Rock Technology Finance Corp. 254900G5EZJSOD3UKL16 Owl Rock Technology Finance Corporation 691205AE8 67000.00000000 PA USD 68517.76000000 0.014677611191 Long DBT CORP US N 2 2026-06-17 Fixed 0.03750000 N N N N N N SENSATA TECHNOLOGIES INC N/A Sensata Technologies, Inc. 81728UAB0 120000.00000000 PA USD 118312.80000000 0.025344513266 Long DBT CORP US N 2 2031-02-15 Fixed 0.03750000 N N N N N N FS/KKR Advisor, LLC 549300TYRSI1T21B1360 FS KKR Capital Corporation 302635206 1200.00000000 NS USD 23796.00000000 0.005097487657 Long EC CORP US N 1 N N N Norfolk Southern Corporation 54930036C8MWP850MI84 Norfolk Southern Corporation 655844108 1749.00000000 NS USD 469641.48000000 0.100604792723 Long EC CORP US N 1 N N N Chubb Limited E0JAN6VLUDI1HITHT809 Chubb, Ltd. H1467J104 3238.00000000 NS USD 511506.86000000 0.109573033512 Long EC CORP CH N 1 N N N Wyndham Hotels & Resorts, Inc. 549300FE3MQ4RVXXC673 Wyndham Hotels & Resorts, Inc. 98311AAB1 35000.00000000 PA USD 35402.50000000 0.007583787476 Long DBT CORP US N 2 2028-08-15 Fixed 0.04375000 N N N N N N O-I Glass, Inc. V2UQUCDZJ9WY98W8QU33 Owens-Brockway Glass Container, Inc. 69073TAR4 60000.00000000 PA USD 64275.00000000 0.013768743451 Long DBT CORP US N 2 2023-08-15 Fixed 0.05875000 N N N N N N Lakeland Bancorp, Inc. 549300NF90LR9ETZDR73 Lakeland Bancorp, Inc. 511637100 646.00000000 NS USD 11259.78000000 0.002412026793 Long EC CORP US N 1 N N N Pioneer Natural Resources Company FY8JBF7CCL2VE4F1B628 Pioneer Natural Resources Company 723787107 3776.00000000 NS USD 599704.32000000 0.128466354396 Long EC CORP US N 1 N N N Huntington Bancshares Incorporated 549300XTVCVV9I7B5T19 Huntington Bancshares, Inc. 446150AV6 126000.00000000 PA USD 131191.20000000 0.028103274615 Long DBT CORP US N 2 2027-10-15 Variable 0.04450000 N N N N N N Axon Enterprise, Inc. 549300QP2IEEGFE16681 Axon Enterprise, Inc. 05464C101 1047.00000000 NS USD 149113.74000000 0.031942572246 Long EC CORP US N 1 N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967JM4 32000.00000000 PA USD 34480.00000000 0.007386173072 Long DBT CORP US N 2 2025-05-15 Variable 0.05950000 N N N N N N AMETEK, Inc. 549300WZDEF9KKE40E98 AMETEK, Inc. 031100100 4459.00000000 NS USD 569548.07000000 0.122006398430 Long EC CORP US N 1 N N N USA Compression Partners, LP N/A USA Compression Partners, LP 91740PAC2 40000.00000000 PA USD 41025.00000000 0.008788217815 Long DBT CORP US N 2 2026-04-01 Fixed 0.06875000 N N N N N N Regions Financial Corporation CW05CS5KW59QTC0DG824 Regions Financial Corporation 7591EPAP5 41000.00000000 PA USD 43976.66000000 0.009420511075 Long DBT CORP US N 2 2023-08-14 Fixed 0.03800000 N N N N N N Patrick Industries, Inc. 549300FZ5ZTCCJ3Z5W14 Patrick Industries, Inc. 703343103 3807.00000000 NS USD 323595.00000000 0.069319277124 Long EC CORP US N 1 N N N CSX Corporation 549300JVQR4N1MMP3Q88 CSX Corporation 126408103 3165.00000000 NS USD 305169.30000000 0.065372194491 Long EC CORP US N 1 N N N Air Transport Services Group, Inc. 5493000F3MSFGIXTQE27 Air Transport Services Group, Inc., Convertible 00922RAB1 66000.00000000 PA USD 73755.00000000 0.015799512613 Long DBT CORP US N 2 2024-10-15 Fixed 0.01125000 N N N N Y Air Transport Services Group Inc Air Transport Services Group Inc USD XXXX N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T, Inc., 4.750% 00206R706 8625.00000000 NS USD 217953.75000000 0.046689214594 Long EP CORP US N 1 N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 060505EN0 83000.00000000 PA USD 92130.00000000 0.019735734487 Long DBT CORP US N 2 2024-09-05 Variable 0.06100000 N N N N N N Charter Communications, Inc. 0J0XRGZE3PBRFEZ7MV65 Charter Communications, Inc. 16119P108 1146.00000000 NS USD 707104.92000000 0.151473298121 Long EC CORP US N 1 N N N Moderna, Inc. 549300EI6OKH5K5Q2G38 Moderna, Inc. 60770K107 1180.00000000 NS USD 154521.00000000 0.033100894700 Long EC CORP US N 1 N N N NIKE, Inc. 787RXPR0UX0O0XUXPZ81 NIKE, Inc. 654106103 3460.00000000 NS USD 459799.40000000 0.098496460174 Long EC CORP US N 1 N N N Federal Home Loan Banks Office of Finance 2549001DPIFGXC1TOL40 Federal Home Loan Bank Discount Notes 313385FD3 500000.00000000 PA USD 499995.42000000 0.107107097081 Long STIV USGSE US N 2 N N N Altria Group, Inc. XSGZFLO9YTNO9VCQV219 Altria Group, Inc. 02209S103 1195.00000000 NS USD 61136.20000000 0.013096361779 Long EC CORP US N 1 N N N Advanced Drainage Systems, Inc. 6QQTOZ5MF5DHM7K92I60 Advanced Drainage Systems, Inc., Term Loan N/A 61426.92000000 PA USD 61426.92000000 0.013158638700 Long DBT CORP US N 2 2026-09-24 Floating 0.02375000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967MG3 102000.00000000 PA USD 105090.60000000 0.022512104403 Long DBT CORP US N 2 2024-09-12 Variable 0.05000000 N N N N N N Citizens Financial Group, Inc. 2138004JDDA4ZQUPFW65 Citizens Financial Group, Inc. 174610105 395.00000000 NS USD 17439.25000000 0.003735769105 Long EC CORP US N 1 N N N Centene Corporation 549300Z7JJ4TQSQGT333 Centene Corporation 15135BAM3 48000.00000000 PA USD 50635.20000000 0.010846877921 Long DBT CORP US N 2 2026-08-15 Fixed 0.05375000 N N N N N N AerCap Holdings N.V. N/A AerCap Ireland Capital DAC 00774MAQ8 59000.00000000 PA USD 61474.71000000 0.013168876090 Long DBT CORP IE N 2 2024-02-15 Fixed 0.03150000 N N N N N N Freeport-McMoRan Inc. 549300IRDTHJQ1PVET45 Freeport-McMoRan, Inc. 35671DCE3 90000.00000000 PA USD 94608.00000000 0.020266562123 Long DBT CORP US N 2 2028-03-01 Fixed 0.04125000 N N N N N N Exxon Mobil Corporation J3WHBG0MTS7O8ZVMDC91 Exxon Mobil Corporation 30231G102 4296.00000000 NS USD 239845.68000000 0.051378819694 Long EC CORP US N 1 N N N Stanley Black & Decker, Inc. 549300DJ09SMTO561131 Stanley Black & Decker, Inc. 854502101 837.00000000 NS USD 167123.79000000 0.035800615933 Long EC CORP US N 1 N N N Energy Transfer LP 5493008K8W3OKZE54J59 Energy Transfer Operating, LP 29278NAB9 80000.00000000 PA USD 70800.00000000 0.015166503871 Long DBT CORP US N 2 2028-02-15 Variable 0.06625000 N N N N N N Lincoln Electric Holdings, Inc. BIMGBY40SIN95O01BN93 Lincoln Electric Holdings, Inc. 533900106 2620.00000000 NS USD 322102.80000000 0.068999623776 Long EC CORP US N 1 N N N VIATRIS INC 254900ZZTSW7NL773X71 Upjohn, Inc. 91533BAB6 35000.00000000 PA USD 35123.63000000 0.007524049016 Long DBT CORP US N 2 2025-06-22 Fixed 0.01650000 N N N N N N The Kroger Co. 6CPEOKI6OYJ13Q6O7870 Kroger Company 501044DL2 45000.00000000 PA USD 52160.29000000 0.011173576839 Long DBT CORP US N 2 2029-01-15 Fixed 0.04500000 N N N N N N Simon Property Group, Inc. MR92GTD0MJTTTTQDVG45 Simon Property Group, LP 828807DG9 68000.00000000 PA USD 70377.75000000 0.015076051099 Long DBT CORP US N 2 2024-09-13 Fixed 0.02000000 N N N N N N VICI Properties Inc. N/A VICI Properties, LP 92564RAA3 50000.00000000 PA USD 51154.25000000 0.010958066817 Long DBT CORP US N 2 2026-12-01 Fixed 0.04250000 N N N N N N Rexford Industrial Realty, Inc. 549300MSLO0DF0EMX355 Rexford Industrial Realty, Inc. 76169C100 2501.00000000 NS USD 126050.40000000 0.027002032198 Long EC CORP US N 1 N N N CBRE Group, Inc. 52990016II9MJ2OSWA10 CBRE Group, Inc. 12504L109 3494.00000000 NS USD 276410.34000000 0.059211560619 Long EC CORP US N 1 N N N General Motors Company 5493008B6JBRUJ90QL97 General Motors Financial Company, Inc. 37045XBY1 43000.00000000 PA USD 44210.23000000 0.009470545543 Long DBT CORP US N 2 2022-06-30 Fixed 0.03150000 N N N N N N General Motors Company 5493008B6JBRUJ90QL97 General Motors Financial Company, Inc. 37045XCV6 48000.00000000 PA USD 50327.42000000 0.010780946473 Long DBT CORP US N 2 2025-02-26 Fixed 0.02900000 N N N N N N Service Properties Trust 529900IS770AG1K9QG27 Service Properties Trust 81761L102 9639.00000000 NS USD 114318.54000000 0.024488878242 Long EC CORP US N 1 N N N Continental Resources, Inc. XXRTID9RYWOZ0UPIVR53 Continental Resources, Inc. 212015AS0 40000.00000000 PA USD 42060.00000000 0.009009931537 Long DBT CORP US N 2 2028-01-15 Fixed 0.04375000 N N N N N N Marathon Petroleum Corporation 3BNYRYQHD39K4LCKQF12 Marathon Petroleum Corporation 56585A102 6818.00000000 NS USD 364694.82000000 0.078123522593 Long EC CORP US N 1 N N N L Brands, Inc. GR3KVMWVCR54YWQNXU90 L Brands, Inc. 501797AL8 20000.00000000 PA USD 23835.80000000 0.005106013460 Long DBT CORP US N 2 2035-11-01 Fixed 0.06875000 N N N N N N Wells Fargo & Company 5493001HF04TYQLWJP49 Wells Fargo Income Opportunities Fund 94987B105 7170.00000000 NS USD 60514.80000000 0.012963247860 Long RF US N 1 N N N Sumitomo Mitsui Financial Group, Inc. 35380028MYWPB6AUO129 Sumitomo Mitsui Financial Group, Inc. 86562MBT6 39000.00000000 PA USD 40858.52000000 0.008752555109 Long DBT CORP JP N 2 2024-09-27 Fixed 0.02448000 N N N N N N Crane Co. 549300X1RO9ID7AUCA83 Crane Company 224399105 2827.00000000 NS USD 265483.57000000 0.056870869948 Long EC CORP US N 1 N N N The Walt Disney Company 549300GZKULIZ0WOW665 Walt Disney Company 254687FV3 90000.00000000 PA USD 92053.60000000 0.019719368373 Long DBT CORP US N 2 2026-01-13 Fixed 0.01750000 N N N N N N Texas Roadhouse, Inc. 5299002Y1CNRPDGXTQ75 Texas Roadhouse, Inc. 882681109 2819.00000000 NS USD 270454.86000000 0.057935800584 Long EC CORP US N 1 N N N UPC FINANCING PARTNERSHIP 213800DXWIS9KORQ3X94 UPC Financing Partnership, Term Loan N/A 100000.00000000 PA USD 99679.00000000 0.021352852252 Long DBT CORP US N 2 2029-01-31 Floating 0.03606000 N N N N N N Nippon Telegraph and Telephone Corporation 3538007PR116187GD960 NTT Finance Corporation 62954WAC9 54000.00000000 PA USD 53286.95000000 0.011414925614 Long DBT CORP JP N 2 2026-04-03 Fixed 0.01162000 N N N N N N Western Asset Mortgage Capital Corporation 549300JOQRROR5SZYY83 Western Asset Mortgage Capital Corporation 95790D105 1343.00000000 NS USD 4284.17000000 0.000917738430 Long EC CORP US N 1 N N N Mp (Thrift) Llc 549300Q22V2Y3J4R2715 Flagstar Bancorp, Inc. 337930705 3964.00000000 NS USD 178776.40000000 0.038296793259 Long EC CORP US N 1 N N N IAC/InterActiveCorp 15OMOPB0A8K0EFUVD031 Match Group, Inc. 57667L107 1964.00000000 NS USD 269814.32000000 0.057798586567 Long EC CORP US N 1 N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38141GXS8 51000.00000000 PA USD 50128.03000000 0.010738233913 Long DBT CORP US N 2 2026-02-12 Variable 0.00855000 N N N N N N Intuit Inc. VI90HBPH7XSFMB9E4M29 Intuit, Inc. 461202103 1132.00000000 NS USD 433623.92000000 0.092889249457 Long EC CORP US N 1 N N N Transocean Ltd. 5493000CTMQ2LH21VM89 Transocean Proteus, Ltd. 893829AA9 30000.00000000 PA USD 28500.00000000 0.006105160456 Long DBT CORP KY N 2 2024-12-01 Fixed 0.06250000 N N N N N N REYNOLDS GROUP HOLDINGS 5493002QNV81KCX40V06 Pactiv Evergreen Group Holdings, Inc., Term Loan N/A 448875.00000000 PA USD 443488.50000000 0.095002401869 Long DBT CORP US N 2 2026-02-05 Floating 0.03358500 N N N N N N Targa Resources Corp. N/A Targa Resources Partners, LP 87612BBE1 40000.00000000 PA USD 41482.60000000 0.008886243128 Long DBT CORP US N 2 2027-02-01 Fixed 0.05375000 N N N N N N Altria Group, Inc. XSGZFLO9YTNO9VCQV219 Altria Group, Inc. 02209SBD4 45000.00000000 PA USD 51705.34000000 0.011076119199 Long DBT CORP US N 2 2029-02-14 Fixed 0.04800000 N N N N N N Waste Pro USA, Inc. 549300BY1QXU5BI3UF28 Waste Pro USA, Inc. 94107JAA1 35000.00000000 PA USD 35831.25000000 0.007675632653 Long DBT CORP US N 2 2026-02-15 Fixed 0.05500000 N N N N N N Stanwich Mortgage Loan Co 2019-NPL-B-2 LLC N/A Stanwich Mortgage Loan Trust 85503DAA2 135359.51000000 PA USD 136129.45000000 0.029161127549 Long ABS-CBDO CORP US N 2 2024-11-16 Variable 0.03475000 N N N N N N EAGLE BROADBAND INVESTMENTS 254900W09ZHD1OM4I757 Eagle Broadband Investments, LLC, Term Loan N/A 862837.50000000 PA USD 859964.25000000 0.184218236261 Long DBT CORP US N 2 2027-11-12 Floating 0.03750000 N N N N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38148BAE8 206000.00000000 PA USD 222480.00000000 0.047658810471 Long DBT CORP US N 2 2024-08-10 Variable 0.05500000 N N N N N N JPMorgan Chase & Co. N/A Bear Stearns Adjustable Rate Mortgage Trust 07384MZX3 75856.14400000 PA USD 74310.41000000 0.015918490409 Long ABS-CBDO CORP US N 2 2034-01-25 Variable 0.02310100 N N N N N N EQT Corporation 4NT01YGM4X7ZX86ISY52 EQT Corporation 26884L109 6626.00000000 NS USD 123111.08000000 0.026372382365 Long EC CORP US N 1 N N N Dominion Energy, Inc. ILUL7B6Z54MRYCF6H308 Dominion Energy, Inc. 25746UDB2 35000.00000000 PA USD 37274.14000000 0.007984723003 Long DBT CORP US N 2 2024-08-15 Fixed 0.03071000 N N N N N N J.P. Morgan N/A ICE mini MSCI EAFE Index N/A 27.00000000 NC USD 5317.38000000 0.001139068705 N/A DE CORP US N 1 J.P. Morgan N/A Long MSCI EAFE Index MXEA 2021-06-22 2953882.62000000 USD 5317.38000000 N N N Sumitomo Mitsui Trust Holdings, Inc. 5493006GGLR4BTEL8O61 Sumitomo Mitsui Trust Bank, Ltd. 86563VAT6 35000.00000000 PA USD 34429.56000000 0.007375368009 Long DBT CORP JP N 2 2025-09-12 Fixed 0.01050000 N N N N N N CARNIVAL CORP F1OF2ZSX47CR0BCWA982 Carnival Corporation 143658BN1 80000.00000000 PA USD 82100.00000000 0.017587146439 Long DBT CORP PA N 2 2027-03-01 Fixed 0.05750000 N N N N N N Credit Suisse Group AG 549300506SI9CRFV9Z86 Credit Suisse Group AG 225401AF5 46000.00000000 PA USD 49324.47000000 0.010566098379 Long DBT CORP CH N 2 2029-01-12 Variable 0.03869000 N N N N N N General Electric Company 3C7474T6CDKPR9K6YT90 General Electric Company 369604BQ5 51000.00000000 PA USD 48195.00000000 0.010324147656 Long DBT CORP US N 2 2021-06-15 Floating 0.03513900 N N N N N N VTR FINANCE BV 213800F4XI4RJB82XM19 VTR Finance NV 918374AA7 50000.00000000 PA USD 54000.00000000 0.011567672444 Long DBT CORP NL N 2 2028-07-15 Fixed 0.06375000 N N N N N N Colgate-Palmolive Company YMEGZFW4SBUSS5BQXF88 Colgate-Palmolive Company 194162103 3502.00000000 NS USD 276062.66000000 0.059137081945 Long EC CORP US N 1 N N N Cooperatieve Rabobank U.A. DG3RU1DBUFHT4ZF9WN62 Cooperatieve Rabobank UA 74977RDH4 35000.00000000 PA USD 34706.64000000 0.007434723021 Long DBT CORP NL N 2 2026-06-24 Variable 0.01339000 N N N N N N GMACM Mortgage Loan Trust 2005-AR6 N/A GMACM Mortgage Loan Trust 36185MBG6 45639.12200000 PA USD 45332.62000000 0.009710979615 Long ABS-CBDO CORP US N 2 2035-11-19 Variable 0.03627300 N N N N N N BP plc 5493009NTB34VXE1T760 BP Capital Markets America, Inc. 10373QAE0 107000.00000000 PA USD 121391.29000000 0.026003975562 Long DBT CORP US N 2 2028-11-06 Fixed 0.04234000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation, 5.000% 06055H202 5000.00000000 NS USD 132350.00000000 0.028351508297 Long EP CORP US N 1 N N N The Goldman Sachs Group, Inc. N/A GSAA Home Equity Trust 36242DNF6 76740.05000000 PA USD 81068.96000000 0.017366281013 Long ABS-CBDO CORP US N 2 2034-08-25 Fixed 0.04554700 N N N N N N LSF5 BI-LO Holdings, LLC N/A SEG Holding, LLC 78397KAA0 100000.00000000 PA USD 104750.00000000 0.022439142381 Long DBT CORP US N 2 2028-10-15 Fixed 0.05625000 N N N N N N Marathon Petroleum Corporation 5493000CZJ19CK4P3G36 MPLX, LP 55336VBR0 113000.00000000 PA USD 113172.58000000 0.024243395095 Long DBT CORP US N 2 2026-03-01 Fixed 0.01750000 N N N N N N Federal Home Loan Mortgage Corporation N/A Federal Home Loan Mortgage Corporation - REMIC 3137B2CJ7 729149.00400000 PA USD 53282.05000000 0.011413875955 Long ABS-CBDO USGSE US N 2 2033-04-15 Fixed 0.03000000 N N N N N N MetLife, Inc. C4BXATY60WC6XEOZDX54 MetLife, Inc. 59156R108 4153.00000000 NS USD 252460.87000000 0.054081197208 Long EC CORP US N 1 N N N The Gorman-Rupp Company N/A Gorman-Rupp Company 383082104 289.00000000 NS USD 9568.79000000 0.002049789415 Long EC CORP US N 1 N N N NEP/NCP Holdco, Inc. N/A NEP Group, Inc., Term Loan N/A 703800.00000000 PA USD 681412.12000000 0.145969485258 Long DBT CORP US N 2 2025-10-20 Floating 0.03358500 N N N N N N Illumina, Inc. SQ95QG8SR5Q56LSNF682 Illumina, Inc. 452327109 1194.00000000 NS USD 458567.64000000 0.098232597282 Long EC CORP US N 1 N N N Teradyne, Inc. C3X4YJ278QNZHRJULN75 Teradyne, Inc. 880770102 343.00000000 NS USD 41736.24000000 0.008940576914 Long EC CORP US N 1 N N N Viasat, Inc. UFC8NYMNFSYIHNSM2I38 ViaSat, Inc. 92552VAK6 100000.00000000 PA USD 101646.00000000 0.021774215431 Long DBT CORP US N 2 2025-09-15 Fixed 0.05625000 N N N N N N NRG ENERGY INC 5E2UPK5SW04M13XY7I38 NRG Energy, Inc. 629377CN0 34000.00000000 PA USD 33994.32000000 0.007282132569 Long DBT CORP US N 2 2025-12-02 Fixed 0.02000000 N N N N N N Hewlett Packard Enterprise Company 549300BX44RGX6ANDV88 Hewlett Packard Enterprise Company 42824CBG3 28000.00000000 PA USD 30424.06000000 0.006517325194 Long DBT CORP US N 2 2023-10-02 Fixed 0.04450000 N N N N N N Crown Castle International Corp. (REIT) 54930012H97VSM0I2R19 Crown Castle International Corporation 22822VAK7 45000.00000000 PA USD 49022.24000000 0.010501355830 Long DBT CORP US N 2 2028-02-15 Fixed 0.03800000 N N N N N N Novartis AG 5493002KF87V5RSRQS84 Novartis Capital Corporation 66989HAP3 30000.00000000 PA USD 30888.33000000 0.006616779329 Long DBT CORP US N 2 2025-02-14 Fixed 0.01750000 N N N N N N Energy Transfer LP 5493008K8W3OKZE54J59 Energy Transfer Operating, LP 29278NAM5 98000.00000000 PA USD 109091.09000000 0.023369073995 Long DBT CORP US N 2 2024-01-15 Fixed 0.05875000 N N N N N N HCA Healthcare, Inc. L3CJ6J7LJ2DX62FTXD46 HCA, Inc. 404119BR9 310000.00000000 PA USD 345809.65000000 0.074078014062 Long DBT CORP US N 2 2025-02-01 Fixed 0.05375000 N N N N N N First Industrial Realty Trust, Inc. N/A First Industrial Realty Trust, Inc. 32054K103 3039.00000000 NS USD 139155.81000000 0.029809422756 Long EC CORP US N 1 N N N Raytheon Technologies Corporation I07WOS4YJ0N7YRFE7309 Raytheon Technologies Corporation 913017CY3 45000.00000000 PA USD 50676.01000000 0.010855620083 Long DBT CORP US N 2 2028-11-16 Fixed 0.04125000 N N N N N N Marathon Petroleum Corporation 3BNYRYQHD39K4LCKQF12 Marathon Petroleum Corporation 56585ABH4 34000.00000000 PA USD 38213.04000000 0.008185850552 Long DBT CORP US N 2 2025-05-01 Fixed 0.04700000 N N N N N N International Flavors & Fragrances Inc. BZLRL03D3GPGMOGFO832 International Flavors & Fragrances, Inc. 459506101 288.00000000 NS USD 40207.68000000 0.008613134666 Long EC CORP US N 1 N N N Glencore plc 5493005TTO0UJ33KCK70 Xstrata Finance Canada, Ltd. 98417EAK6 66000.00000000 PA USD 67842.81000000 0.014533025996 Long DBT CORP CA N 2 2021-11-15 Fixed 0.04950000 N N N N N N Bohai Leasing Co., Ltd. 635400ZRKEX9L1BKCH30 Avolon Holdings Funding, Ltd. 05401AAD3 18000.00000000 PA USD 19442.29000000 0.004164852635 Long DBT CORP KY N 2 2024-05-15 Fixed 0.05250000 N N N N N N CommScope Holding Company, Inc. 549300Z6K4JXMFE8QY54 CommScope, Inc. 203372AV9 50000.00000000 PA USD 53104.00000000 0.011375734768 Long DBT CORP US N 2 2028-07-01 Fixed 0.07125000 N N N N N N SS&C Technologies Holdings, Inc. 549300KY09TR3J12JU49 SS&C Technologies, Inc., Term Loan N/A 49482.61000000 PA USD 48910.10000000 0.010477333630 Long DBT CORP US N 2 2025-04-16 Floating 0.01858500 N N N N N N MFA Financial, Inc. YW72IMH2RRC8Z1TGLG58 MFA Financial, Inc. 55272X102 15351.00000000 NS USD 62478.57000000 0.013383919121 Long EC CORP US N 1 N N N Colliers International Group Inc. D3O8K13PHLEXXD1DT480 Colliers International Group, Inc. 194693107 3015.00000000 NS USD 296193.60000000 0.063449454537 Long EC CORP CA N 1 N N N The Charles Schwab Corporation 549300VSGCJ7E698NM85 Charles Schwab Corporation 808513BP9 66000.00000000 PA USD 66293.04000000 0.014201040223 Long DBT CORP US N 2 2028-03-20 Fixed 0.02000000 N N N N N N New York Community Bancorp, Inc. 529900HVXOTLY61GL030 New York Community Bancorp, Inc. 649445103 9204.00000000 NS USD 116154.48000000 0.024882166252 Long EC CORP US N 1 N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GHF9 115000.00000000 PA USD 121333.54000000 0.025991604579 Long DBT CORP US N 2 2024-03-05 Variable 0.03550000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136AB3K7 508915.05000000 PA USD 29930.41000000 0.006411577389 Long ABS-CBDO USGSE US N 2 2028-02-25 Fixed 0.03000000 N N N N N N Blackstone Mortgage Trust, Inc. 549300OLDJ20R2Y2UW20 Blackstone Mortgage Trust, Inc. 09257W100 2721.00000000 NS USD 84351.00000000 0.018069347007 Long EC CORP US N 1 N N N The Bank of N.T. Butterfield & Son Limited 549300V8RVM0EMTDPF28 Bank of N.T. Butterfield & Son, Ltd. G0772R208 6282.00000000 NS USD 240098.04000000 0.051432879283 Long EC CORP BM N 1 N N N Ionis Pharmaceuticals, Inc. 549300SI4ZGLG0BLUZ92 Ionis Pharmaceuticals, Inc., Convertible 462222AB6 63000.00000000 PA USD 60144.77000000 0.012883981455 Long DBT CORP US N 2 2024-12-15 Fixed 0.00125000 N N N N Y Ionis Pharmaceuticals Inc Ionis Pharmaceuticals Inc USD XXXX N N N Halliburton Company ENYF8GB5SMQZ25S06U51 Halliburton Company 406216101 9743.00000000 NS USD 209084.78000000 0.044789337929 Long EC CORP US N 1 N N N Nucor Corporation 549300GGJCRSI2TIEJ46 Nucor Corporation 670346AR6 17000.00000000 PA USD 17440.27000000 0.003735987605 Long DBT CORP US N 2 2025-06-01 Fixed 0.02000000 N N N N N N Capital One Financial Corporation LKE37K2B8CFZUR7F9816 Capital One Bank USA NA 140420NB2 52000.00000000 PA USD 54620.30000000 0.011700550726 Long DBT CORP US N 2 2023-02-15 Fixed 0.03375000 N N N N N N ManpowerGroup Inc. ERO1WSFOSR0JJ6CRQ987 Manpower, Inc. 56418H100 4360.00000000 NS USD 431204.00000000 0.092370863496 Long EC CORP US N 1 N N N PTC Inc. 54930050SSMU8SKDJ030 PTC, Inc. 69370CAB6 40000.00000000 PA USD 41050.00000000 0.008793573219 Long DBT CORP US N 2 2025-02-15 Fixed 0.03625000 N N N N N N Broadridge Financial Solutions, Inc. 549300KZDJZQ2YIHRC28 Broadridge Financial Solutions, Inc. 11133T103 315.00000000 NS USD 48226.50000000 0.010330895465 Long EC CORP US N 1 N N N LEVI STRAUSS & CO MB0UERO0RDFKU8258G77 Levi Strauss & Company 52736RBJ0 100000.00000000 PA USD 96500.00000000 0.020671859090 Long DBT CORP US N 2 2031-03-01 Fixed 0.03500000 N N N N N N Radiate TopCo N/A Radiate Holdco, LLC 75026JAE0 40000.00000000 PA USD 42238.00000000 0.009048062013 Long DBT CORP US N 2 2028-09-15 Fixed 0.06500000 N N N N N N Six Flags Entertainment Corporation 5493003MX0ZXTM8EVY68 Six Flags Theme Parks, Inc. 83001WAC8 50000.00000000 PA USD 54062.50000000 0.011581060954 Long DBT CORP US N 2 2025-07-01 Fixed 0.07000000 N N N N N N SHIFT4 PAYMENTS LLC/FIN N/A Shift4 Payments, LLC 82453AAA5 20000.00000000 PA USD 20750.00000000 0.004444985244 Long DBT CORP US N 2 2026-11-01 Fixed 0.04625000 N N N N N N ON Semiconductor Corporation ZV20P4CNJVT8V1ZGJ064 ON Semiconductor Corporation 682189105 1440.00000000 NS USD 59918.40000000 0.012835489344 Long EC CORP US N 1 N N N FLEETCOR Technologies, Inc. 549300DG6RR0NQSFLN74 FleetCor Technologies, Inc. 339041105 1029.00000000 NS USD 276420.27000000 0.059213687785 Long EC CORP US N 1 N N N LOWE'S COS INC WAFCR4OKGSC504WU3E95 Lowe's Companies, Inc. 548661DU8 45000.00000000 PA USD 51907.28000000 0.011119378009 Long DBT CORP US N 2 2030-04-15 Fixed 0.04500000 N N N N N N KOHL'S CORPORATION 549300JF6LPRTRJ0FH50 Kohl's Corporation 500255AX2 45000.00000000 PA USD 45035.22000000 0.009647271730 Long DBT CORP US N 2 2031-05-01 Fixed 0.03375000 N N N N N N Enbridge Inc. 98TPTUM4IVMFCZBCUR27 Enbridge, Inc. 29250N105 2862.00000000 NS USD 104176.80000000 0.022316353680 Long EC CORP CA N 1 N N N HUDBAY MINERALS INC 549300WI524AL577IX21 Hudbay Minerals, Inc. 443628AJ1 70000.00000000 PA USD 72751.70000000 0.015584589544 Long DBT CORP CA N 2 2026-04-01 Fixed 0.04500000 N N N N N N D.R. Horton, Inc. 529900ZIUEYVSB8QDD25 D.R. Horton, Inc. 23331A109 4133.00000000 NS USD 368332.96000000 0.078902870960 Long EC CORP US N 1 N N N First Quantum Minerals Ltd. 549300I7UVBGWRYMYZ18 First Quantum Minerals, Ltd. 335934AL9 110000.00000000 PA USD 113575.00000000 0.024329599961 Long DBT CORP CA N 2 2025-04-01 Fixed 0.07500000 N N N N N N Apple Inc. HWUPKR0MPOU8FGXBT394 Apple, Inc. 037833EB2 34000.00000000 PA USD 33347.35000000 0.007143541142 Long DBT CORP US N 2 2026-02-08 Fixed 0.00700000 N N N N N N MOMENTIVE PERFORMANCE 54930021ZH8MCUXACZ50 Momentive Performance Materials USA, LLC, Term Loan N/A 331102.50000000 PA USD 325308.21000000 0.069686274385 Long DBT CORP US N 2 2024-05-15 Floating 0.03360000 N N N N N N Discovery, Inc. L2Z2MO2EQURH3BREWI15 Discovery Communications, LLC 25470DAQ2 45000.00000000 PA USD 47014.64000000 0.010071295474 Long DBT CORP US N 2 2023-03-20 Fixed 0.02950000 N N N N N N Dole Food Company, Inc. 549300BHY23LFYB85T03 Dole Food Company, Inc., Term Loan N/A 403858.98000000 PA USD 403467.24000000 0.086429201379 Long DBT CORP US N 2 2024-04-06 Floating 0.03754211 N N N N N N Eagle Re 2019-1 LTD 254900L82OLW9QTLJ788 Eagle Re, Ltd. 269822AB8 300782.38000000 PA USD 301377.54000000 0.064559938238 Long ABS-CBDO CORP BM N 2 2029-04-25 Floating 0.01908600 N N N N N N Central Garden & Pet Company 5493004DVZLD37DJ0H83 Central Garden & Pet Company 153527AN6 80000.00000000 PA USD 80800.00000000 0.017308665435 Long DBT CORP US N 2 2030-10-15 Fixed 0.04125000 N N N N N N NorthWestern Corporation 3BPWMBHR1R9SHUN7J795 NorthWestern Corporation 668074305 1907.00000000 NS USD 124336.40000000 0.026634865706 Long EC CORP US N 1 N N N JBS S.A. 529900V1Q46CPWIWT649 JBS Investments II GmbH 46650CAB5 10000.00000000 PA USD 10550.00000000 0.002259980449 Long DBT CORP AT N 2 2028-01-15 Fixed 0.05750000 N N N N N N Bausch Health Companies Inc. B3BS7ACMDUWISF18KY76 Bausch Health Companies, Inc. 071734AM9 110000.00000000 PA USD 109243.75000000 0.023401776233 Long DBT CORP CA N 2 2029-02-15 Fixed 0.05000000 N N N N N N Next Alt S.a.r.l. 3HG2WD2W22M120IUNG49 CSC Holdings, LLC 126307AS6 130000.00000000 PA USD 136662.50000000 0.029275315471 Long DBT CORP US N 2 2028-02-01 Fixed 0.05375000 N N N N N N Uber Technologies, Inc. 549300B2FTG34FILDR98 Uber Technologies, Inc. 90353TAG5 50000.00000000 PA USD 54460.00000000 0.011666211876 Long DBT CORP US N 2 2028-01-15 Fixed 0.06250000 N N N N N N SS&C Technologies Holdings, Inc. 549300DLV755RNHI1N92 Liberty All-Star Equity Fund 530158104 6651.00000000 NS USD 50747.13000000 0.010870855136 Long RF US N 1 N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967MF5 105000.00000000 PA USD 112371.99000000 0.024071895782 Long DBT CORP US N 2 2025-04-24 Variable 0.03352000 N N N N N N Dorian LPG Ltd. 549300WP1W2WGMC7F395 Dorian LPG, Ltd. Y2106R110 579.00000000 NS USD 7602.27000000 0.001628529059 Long EC CORP MH N 1 N N N Citigroup Inc. N/A Citigroup Mortgage Loan Trust, Inc. 17311LAA9 273752.48700000 PA USD 274449.68000000 0.058791555570 Long ABS-CBDO CORP US N 2 2037-04-25 Variable 0.02962700 N N N N N N Constellation Brands, Inc. 5493005GKEG8QCVY7037 Constellation Brands, Inc. 21036PBE7 90000.00000000 PA USD 94268.38000000 0.020193810032 Long DBT CORP US N 2 2029-08-01 Fixed 0.03150000 N N N N N N AerCap Holdings N.V. N/A AerCap Ireland Capital DAC 00774MAN5 63000.00000000 PA USD 73444.04000000 0.015732899958 Long DBT CORP IE N 2 2025-07-15 Fixed 0.06500000 N N N N N N Siemens Aktiengesellschaft TAFO772JB70PDRN5VS48 Siemens Financieringsmaatschappij NV 82620KBD4 67000.00000000 PA USD 65773.89000000 0.014089829906 Long DBT CORP NL N 2 2028-03-11 Fixed 0.01700000 N N N N N N TransDigm Group Incorporated 88Q84GB3X55CF5OC7582 TransDigm, Inc. 893647BL0 200000.00000000 PA USD 207026.00000000 0.044348313991 Long DBT CORP US N 2 2027-11-15 Fixed 0.05500000 N N N N N N Valeant Pharmaceuticals International, Inc. KOO0397YRO83WY5MGD97 Bausch Health Americas, Inc., Term Loan N/A 1007083.66000000 PA USD 1003266.81000000 0.214915959864 Long DBT CORP US N 2 2025-06-01 Floating 0.03108500 N N N N N N Amazon.com, Inc. ZXTILKJKG63JELOEG630 Amazon.com, Inc. 023135106 1976.00000000 NS USD 6113902.08000000 1.309696604076 Long EC CORP US N 1 N N N BigCommerce Holdings Inc 549300MOVEFQ78DMPG58 BigCommerce Holdings, Inc. 08975P108 3811.00000000 NS USD 220275.80000000 0.047186635220 Long EC CORP US N 1 N N J.B. Hunt Transport Services, Inc. 549300XCD1MPI1C5GK90 J.B. Hunt Transport Services, Inc. 445658CE5 65000.00000000 PA USD 67084.46000000 0.014370575174 Long DBT CORP US N 2 2022-08-15 Fixed 0.03300000 N N N N N N Advanced Energy Industries, Inc. 549300756XI3QLFT2U27 Advanced Energy Industries, Inc. 007973100 2033.00000000 NS USD 221942.61000000 0.047543692851 Long EC CORP US N 1 N N N Chevron Corporation VA8TZDWPEZYU430RZ444 Chevron USA, Inc. 166756AP1 55000.00000000 PA USD 60559.33000000 0.012972786905 Long DBT CORP US N 2 2024-11-15 Fixed 0.03900000 N N N N N N Legg Mason, Inc. 254900NJE1W1YYKNVM16 Royce Value Trust, Inc. 780910105 4025.00000000 NS USD 72892.75000000 0.015614804733 Long RF US N 1 N N N BJ's Wholesale Club Holdings, Inc. 549300UCIWH1C93V0J03 BJ's Wholesale Club Holdings, Inc. 05550J101 4206.00000000 NS USD 188681.16000000 0.040418552876 Long EC CORP US N 1 N N N PG&E Corporation 1HNPXZSMMB7HMBMVBS46 Pacific Gas and Electric Company 694308HG5 67000.00000000 PA USD 71251.78000000 0.015263282447 Long DBT CORP US N 2 2024-02-15 Fixed 0.03750000 N N N N N N Republic Services, Inc. NKNQHM6BLECKVOQP7O46 Republic Services, Inc. 760759AT7 45000.00000000 PA USD 50220.35000000 0.010758010349 Long DBT CORP US N 2 2028-05-15 Fixed 0.03950000 N N N N N N The Middleby Corporation JDFO86U9VQRBKW5KYA35 Middleby Corporation 596278101 1736.00000000 NS USD 287742.00000000 0.061638985269 Long EC CORP US N 1 N N N Prudential Financial, Inc. 5PRBRS5FEH7NREC8OR45 Prudential Financial, Inc. 744320AM4 75000.00000000 PA USD 80373.18000000 0.017217233695 Long DBT CORP US N 2 2043-06-15 Variable 0.05625000 N N N N N N Volt LXXXIX LLC N/A Vericrest Opportunity Loan Transferee 92870NAB9 250000.00000000 PA USD 249338.50000000 0.053412335108 Long ABS-CBDO CORP US N 2 2050-03-25 Variable 0.03474800 N N N N N N HCA Healthcare, Inc. L3CJ6J7LJ2DX62FTXD46 HCA, Inc. 404119BT5 112000.00000000 PA USD 128728.11000000 0.027575640942 Long DBT CORP US N 2 2026-06-15 Fixed 0.05250000 N N N N N N D.R. Horton, Inc. 529900ZIUEYVSB8QDD25 D.R. Horton, Inc. 23331ABN8 16000.00000000 PA USD 16828.73000000 0.003604985857 Long DBT CORP US N 2 2025-10-15 Fixed 0.02600000 N N N N N N McDonald's Corporation UE2136O97NLB5BYP9H04 McDonald's Corporation 58013MFF6 134000.00000000 PA USD 148325.94000000 0.031773812758 Long DBT CORP US N 2 2028-04-01 Fixed 0.03800000 N N N N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343VFE9 67000.00000000 PA USD 70666.65000000 0.015137938147 Long DBT CORP US N 2 2030-03-22 Fixed 0.03150000 N N N N N N Community Health Systems, Inc. 5493007X5NC5XI1BB106 Community Health Systems, Inc. 12543DBH2 50000.00000000 PA USD 52875.00000000 0.011326679268 Long DBT CORP US N 2 2029-01-15 Fixed 0.06000000 N N N N N N CARNIVAL CORP F1OF2ZSX47CR0BCWA982 Carnival Corporation 143658BL5 20000.00000000 PA USD 21486.00000000 0.004602648336 Long DBT CORP PA N 2 2026-03-01 Fixed 0.07625000 N N N N N N Hecla Mining Company 5493009Y6HOBZD1QD537 Hecla Mining Company 422704AH9 25000.00000000 PA USD 26812.50000000 0.005743670693 Long DBT CORP US N 2 2028-02-15 Fixed 0.07250000 N N N N N N Evercore Inc. 529900P6KLPT95DW3W58 Evercore, Inc. 29977A105 2861.00000000 NS USD 376908.14000000 0.080739813060 Long EC CORP US N 1 N N N Lloyds Banking Group plc 549300PPXHEU2JF0AM85 Lloyds Banking Group plc 539439AF6 156000.00000000 PA USD 201240.00000000 0.043108859310 Long DBT CORP GB N 2 2037-05-21 Variable 0.06657000 N N N N N N ONEOK, Inc. 2T3D6M0JSY48PSZI1Q41 ONEOK, Inc. 682680BA0 68000.00000000 PA USD 69235.88000000 0.014831444097 Long DBT CORP US N 2 2025-09-15 Fixed 0.02200000 N N N N N N Capital One Financial Corporation LKE37K2B8CFZUR7F9816 Capital One Bank USA NA 14042TCT2 48000.00000000 PA USD 49269.40000000 0.010554301495 Long DBT CORP US N 2 2026-01-28 Variable 0.02280000 N N N N N N Terrier Media Buyer, Inc. N/A Terrier Media Buyer, Inc. 88146LAA1 50000.00000000 PA USD 53802.50000000 0.011525364753 Long DBT CORP US N 2 2027-12-15 Fixed 0.08875000 N N N N N N Markel Corporation 549300SCNO12JLWIK605 Markel Corporation 570535104 60.00000000 NS USD 68377.20000000 0.014647500968 Long EC CORP US N 1 N N N MICHAELS STORES INC BV4WJ23XIGNG4UDYEK73 Michaels Stores, Inc., Term Loan N/A 492525.00000000 PA USD 491786.21000000 0.105348551668 Long DBT CORP US N 2 2027-10-01 Floating 0.04250000 N N N N N N Federal Home Loan Mortgage Corporation N/A Federal Home Loan Mortgage Corporation - REMIC 3137AUUT4 579528.69000000 PA USD 71432.36000000 0.015301965600 Long ABS-CBDO USGSE US N 2 2032-10-15 Fixed 0.03500000 N N N N N N Fertitta Entertainment, Inc. 91D14OD6M4H1RVBN7R43 Landry's, Inc. 38113YAE9 80000.00000000 PA USD 80893.60000000 0.017328716067 Long DBT CORP US N 2 2024-10-15 Fixed 0.06750000 N N N N N N ARD Holdings S.A. N/A Ardagh Packaging Finance plc 03969AAL4 61000.00000000 PA USD 62860.50000000 0.013465734698 Long DBT CORP IE N 2 2025-02-15 Fixed 0.06000000 N N N N N N PepsiCo, Inc. FJSUNZKFNQ5YPJ5OT455 PepsiCo, Inc. 713448EZ7 67000.00000000 PA USD 64050.29000000 0.013720606938 Long DBT CORP US N 2 2030-05-01 Fixed 0.01625000 N N N N N N The Hartford Financial Services Group, Inc. IU7C3FTM7Y3BQM112U94 Hartford Financial Services Group, Inc. 416515BC7 66000.00000000 PA USD 63358.48000000 0.013572410059 Long DBT CORP US N 2 2047-02-12 Floating 0.02318700 N N N N N N The Southern Company 549300FC3G3YU2FBZD92 Southern Company, 4.950% 842587800 6725.00000000 NS USD 177002.00000000 0.037916688112 Long EP CORP US N 1 N N N PetSmart, Inc. N/A PetSmart, Inc. 71677KAA6 60000.00000000 PA USD 61362.60000000 0.013144860317 Long DBT CORP US N 2 2028-02-15 Fixed 0.04750000 N N N N N N The Kraft Heinz Company 5493003STKEZ2S0RNU91 Kraft Heinz Foods Company 50077LAV8 140000.00000000 PA USD 148588.54000000 0.031830065921 Long DBT CORP US N 2 2030-04-01 Fixed 0.03750000 N N N N N N Bank of America Corporation N/A Countrywide Home Loan Mortgage Pass Through Trust 126694LU0 120122.36100000 PA USD 114530.57000000 0.024534298493 Long ABS-CBDO CORP US N 2 2035-11-25 Variable 0.02669100 N N N N N N Danaher Corporation S4BKK9OTCEWQ3YHPFM11 Danaher Corporation 235851102 1792.00000000 NS USD 403343.36000000 0.086402664281 Long EC CORP US N 1 N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Notes 91282CBN0 2190000.00000000 PA USD 2188631.25000000 0.468840174113 Long DBT UST US N 2 2023-02-28 Fixed 0.00125000 N N N N N N Fiserv, Inc. GI7UBEJLXYLGR2C7GV83 Fiserv, Inc. 337738AS7 72000.00000000 PA USD 76083.59000000 0.016298334213 Long DBT CORP US N 2 2024-07-01 Fixed 0.02750000 N N N N N N Four Corners Property Trust, Inc. 549300SVTPZPBDVNER42 Four Corners Property Trust, Inc. 35086T109 5687.00000000 NS USD 155823.80000000 0.033379975508 Long EC CORP US N 1 N N N Huntington Ingalls Industries, Inc. 5TZLZ6WJTBVJ0QWBG121 Huntington Ingalls Industries, Inc. 446413AT3 67000.00000000 PA USD 74321.68000000 0.015920904625 Long DBT CORP US N 2 2030-05-01 Fixed 0.04200000 N N N N N N LPL Financial Holdings Inc. 549300Z5YF8CCRMYUL26 LPL Holdings, Inc. 50212YAD6 60000.00000000 PA USD 60450.00000000 0.012949366653 Long DBT CORP US N 2 2029-03-15 Fixed 0.04000000 N N N N N N Allianz SE 549300535GECAFITZP67 Virtus Dividend, Interst & Premium Strategy Fund 92840R101 13850.00000000 NS USD 190853.00000000 0.040883796094 Long RF US N 1 N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136A65L4 753726.05800000 PA USD 40311.83000000 0.008635445279 Long ABS-CBDO USGSE US N 2 2027-07-25 Fixed 0.03000000 N N N N N N Morgan Stanley & Co N/A CME E-mini S&P 500 Index N/A 24.00000000 NC USD 4401.54000000 0.000942880980 N/A DE CORP US N 1 Morgan Stanley & Company N/A Long S&P 500 INDEX SPX 2021-06-22 4756478.46000000 USD 4401.54000000 N N N Bombardier Inc. W7L3VLU8EHQY34Z36697 Bombardier, Inc. 097751BT7 70000.00000000 PA USD 68648.30000000 0.014705574968 Long DBT CORP CA N 2 2027-04-15 Fixed 0.07875000 N N N N N N CVS HEALTH CORP 549300EJG376EN5NQE29 CVS Health Corporation 126650DJ6 45000.00000000 PA USD 49088.90000000 0.010515635479 Long DBT CORP US N 2 2030-04-01 Fixed 0.03750000 N N N N N N CIT Group Inc. N/A Residential Asset Securitization Trust 45660NYL3 137818.03000000 PA USD 140943.00000000 0.030192267729 Long ABS-CBDO CORP US N 2 2034-01-25 Variable 0.02545100 N N N N N N Honeywell International Inc. ISRPG12PN4EIEOEMW547 Honeywell International, Inc. 438516CB0 35000.00000000 PA USD 35505.25000000 0.007605798186 Long DBT CORP US N 2 2025-06-01 Fixed 0.01350000 N N N N N N Spirit Airlines, Inc. 549300DCAFIXFNFR3304 Spirit Airlines, Inc. 848577102 3620.00000000 NS USD 133578.00000000 0.028614565737 Long EC CORP US N 1 N N N Scientific Games Corporation RLTHESQ0RNFQJWPBJN60 Scientific Games International, Inc. 80874YAW0 110000.00000000 PA USD 113927.00000000 0.024405004048 Long DBT CORP US N 2 2025-10-15 Fixed 0.05000000 N N N N N N National Fuel Gas Company 8JB38FFW1Y3C1HM8E841 National Fuel Gas Company 636180BQ3 90000.00000000 PA USD 102855.75000000 0.022033363426 Long DBT CORP US N 2 2026-01-15 Fixed 0.05500000 N N N N N N Centene Corporation 549300Z7JJ4TQSQGT333 Centene Corporation 15135BAW1 160000.00000000 PA USD 159734.40000000 0.034217689210 Long DBT CORP US N 2 2030-10-15 Fixed 0.03000000 N N N N N N Carlisle Companies Incorporated XR64VGX1ZPX6G7ZN7Z11 Carlisle Companies, Inc. 142339100 2589.00000000 NS USD 426097.62000000 0.091276994400 Long EC CORP US N 1 N N N American States Water Company 529900L26LIS2V8PWM23 American States Water Company 029899101 211.00000000 NS USD 15955.82000000 0.003417994432 Long EC CORP US N 1 N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie, Inc. 00287YAL3 44000.00000000 PA USD 45632.83000000 0.009775289447 Long DBT CORP US N 2 2022-11-06 Fixed 0.02900000 N N N N N N Innophos Holdings, Inc. XQ0331QX53IRX25OY417 Innophos Holdings, Inc., Term Loan N/A 346500.00000000 PA USD 345200.63000000 0.073947552139 Long DBT CORP US N 2 2027-02-07 Floating 0.03608500 N N N N N N AMC NETWORKS INC 549300VGG9K75226LR46 AMC Networks, Inc. 00164VAF0 80000.00000000 PA USD 77800.00000000 0.016666016966 Long DBT CORP US N 2 2029-02-15 Fixed 0.04250000 N N N N N N BlackRock, Inc. WU48CSUCFTU86AQUYZ93 BlackRock Credit Allocation Income Trust 092508100 6648.00000000 NS USD 97592.64000000 0.020905920232 Long RF US N 1 N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280BC2 88000.00000000 PA USD 88765.60000000 0.019015025650 Long DBT CORP GB N 2 2021-06-01 Variable 0.06875000 N N N N N N Helm AG 549300PUNIS0USNSL750 Consolidated Energy Finance SA 20914UAD8 70000.00000000 PA USD 71312.50000000 0.015276289652 Long DBT CORP LU N 2 2025-06-15 Fixed 0.06875000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 61744YAN8 84000.00000000 PA USD 87952.13000000 0.018840767234 Long DBT CORP US N 2 2023-01-23 Fixed 0.03125000 N N N N N N RALI Series 2005-QS13 Trust N/A Residential Accredit Loans, Inc. Trust 761118HC5 142933.32500000 PA USD 142221.87000000 0.030466222344 Long ABS-CBDO CORP US N 2 2035-09-25 Fixed 0.05750000 N N N N N N CenterPoint Energy, Inc. 21TPXMRRHFKOBHDC8J74 CenterPoint Energy, Inc. 15189T107 15666.00000000 NS USD 354834.90000000 0.076011368428 Long EC CORP US N 1 N N N Unum Group N/A Provident Financing Trust I 743863AA0 42000.00000000 PA USD 48396.66000000 0.010367346486 Long DBT CORP US N 2 2038-03-15 Fixed 0.07405000 N N N N N N Duke Energy Corporation I1BZKREC126H0VB1BL91 Duke Energy Corporation 26441CAX3 90000.00000000 PA USD 95873.16000000 0.020537579835 Long DBT CORP US N 2 2027-08-15 Fixed 0.03150000 N N N N N N NortonLifeLock Inc. YF6ZV0M6AU4FY94MK914 NortonLifeLock, Inc., Convertible 668771AA6 27000.00000000 PA USD 31441.50000000 0.006735277280 Long DBT CORP US N 2 2022-08-15 Fixed 0.02000000 N N N N N NortonLifeLock Inc NortonLifeLock Inc USD XXXX N N N CLEAR CHANNEL OUTDOOR HO N/A Clear Channel Worldwide Holdings, Inc. 18453HAC0 85000.00000000 PA USD 84065.00000000 0.018008081186 Long DBT CORP US N 2 2028-04-15 Fixed 0.07750000 N N N N N N CABLEVISION LIGHTPATH 5493002ZVBLRLGES1R71 Cablevision Lightpath, LLC, Term Loan N/A 518700.00000000 PA USD 517403.25000000 0.110836135514 Long DBT CORP US N 2 2027-12-01 Floating 0.03750000 N N N N N N Sinclair Broadcast Group, Inc. N/A Diamond Sports Group, LLC 25277LAC0 130000.00000000 PA USD 67600.00000000 0.014481012171 Long DBT CORP US N 2 2027-08-15 Fixed 0.06625000 N N N N N N Hilton Worldwide Holdings Inc. 5493003EG7H0N1E4XV50 Hilton Domestic Operating Company, Inc. 432833AF8 180000.00000000 PA USD 190944.00000000 0.040903289764 Long DBT CORP US N 2 2030-01-15 Fixed 0.04875000 N N N N N N NextEra Energy Partners, LP 5493008F4ZOQFNG3WN54 NextEra Energy Partners, LP 65341B106 503.00000000 NS USD 36658.64000000 0.007852872959 Long EC CORP US N 1 N N N Intuitive Surgical, Inc. 54930052SRG011710797 Intuitive Surgical, Inc. 46120E602 734.00000000 NS USD 542381.96000000 0.116186978762 Long EC CORP US N 1 N N N T-Mobile US, Inc. 549300V2JRLO5DIFGE82 T-Mobile USA, Inc. 87264ABE4 89000.00000000 PA USD 96597.04000000 0.020692646626 Long DBT CORP US N 2 2030-04-15 Fixed 0.03875000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46647PBJ4 179000.00000000 PA USD 206239.03000000 0.044179732302 Long DBT CORP US N 2 2031-03-24 Variable 0.04493000 N N N N N N Alphabet Inc. 5493006MHB84DD0ZWV18 Alphabet, Inc., Class C 02079K107 580.00000000 NS USD 1199805.40000000 0.257017701194 Long EC CORP US N 1 N N N WideOpenWest Finance, LLC 54930045JY28O5B5WE54 WideOpenWest Finance, LLC, Term Loan N/A 651196.57000000 PA USD 648878.31000000 0.139000217528 Long DBT CORP US N 2 2023-08-19 Floating 0.04250000 N N N N N N Ford Motor Company 20S05OYHG0MQM4VUIC57 Ford Motor Company, Convertible 345370CY4 315000.00000000 PA USD 318150.00000000 0.068152870153 Long DBT CORP US N 2 2026-03-15 None 0.00000000 N N N N Y Ford Motor Co Ford Motor Co USD XXXX N N N Prudential Financial, Inc. 5PRBRS5FEH7NREC8OR45 Prudential Financial, Inc. 744320AN2 201000.00000000 PA USD 214031.75000000 0.045849058828 Long DBT CORP US N 2 2044-03-15 Variable 0.05200000 N N N N N N Cintas Corporation 549300QVUQTTKMTE0G41 Cintas Corporation No. 2 17252MAM2 64000.00000000 PA USD 65480.39000000 0.014026957464 Long DBT CORP US N 2 2022-04-01 Fixed 0.02900000 N N N N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Notes 912828ZN3 870000.00000000 PA USD 833228.91000000 0.178491094486 Long DBT UST US N 2 2027-04-30 Fixed 0.00500000 N N N N N N EW SCRIPPS CO 549300U1OW41QPKYW028 E.W. Scripps Company, Term Loan N/A 245000.00000000 PA USD 243890.15000000 0.052245210512 Long DBT CORP US N 2 2028-01-07 Floating 0.03750000 N N N N N N PG&E Corporation 8YQ2GSDWYZXO2EDN3511 PG&E Corporation, Term Loan N/A 842876.88000000 PA USD 841030.98000000 0.180162423934 Long DBT CORP US N 2 2025-06-23 Floating 0.03500000 N N N N N N L3Harris Technologies, Inc. 549300UTE50ZMDBG8A20 L3Harris Technologies, Inc. 502431109 2606.00000000 NS USD 528184.08000000 0.113145563480 Long EC CORP US N 1 N N N NextEra Energy, Inc. N/A NextEra Energy, Inc., Convertible, 4.872% 65339F796 2505.00000000 NS USD 143812.05000000 0.030806864592 Long EP CORP US N 1 N N N Spectrum Brands Holdings, Inc. 549300VU3EH2E73C1Q04 Spectrum Brands, Inc. 84762LAW5 40000.00000000 PA USD 42800.00000000 0.009168451493 Long DBT CORP US N 2 2030-07-15 Fixed 0.05500000 N N N N N N Service Properties Trust 529900IS770AG1K9QG27 Service Properties Trust 81761LAB8 50000.00000000 PA USD 52886.65000000 0.011329174886 Long DBT CORP US N 2 2027-12-15 Fixed 0.05500000 N N N N N N G Holdings Inc. 54930064UHXCIUWVI755 Standard Industries, Inc. 853496AG2 120000.00000000 PA USD 121080.00000000 0.025937292214 Long DBT CORP US N 2 2030-07-15 Fixed 0.04375000 N N N N N N Under Armour, Inc. 549300D4549QKWETZ406 Under Armour, Inc., Convertible 904311AB3 40000.00000000 PA USD 78375.00000000 0.016789191256 Long DBT CORP US N 2 2024-06-01 Fixed 0.01500000 N N N N Y Under Armour Inc Under Armour Inc USD XXXX N N N Comcast Corporation 51M0QTTNCGUN7KFCFZ59 Comcast Corporation 20030NCS8 39000.00000000 PA USD 43568.47000000 0.009333070182 Long DBT CORP US N 2 2025-10-15 Fixed 0.03950000 N N N N N N The Boeing Company RVHJWBXLJ1RFUBSY1F30 Boeing Company 097023DG7 52000.00000000 PA USD 51838.75000000 0.011104697776 Long DBT CORP US N 2 2026-02-04 Fixed 0.02196000 N N N N N N The Williams Companies, Inc. D71FAKCBLFS2O0RBPG08 Williams Companies, Inc. 969457BY5 45000.00000000 PA USD 43984.21000000 0.009422128407 Long DBT CORP US N 2 2031-03-15 Fixed 0.02600000 N N N N N N American Tower Corporation (REIT) 5493006ORUSIL88JOE18 American Tower Corporation 03027XAJ9 90000.00000000 PA USD 101393.54000000 0.021720134420 Long DBT CORP US N 2 2026-02-15 Fixed 0.04400000 N N N N N N BWAY Parent Company, Inc. 549300DNGHXL0OMHW304 BWAY Holding Company 12429TAD6 90000.00000000 PA USD 91237.50000000 0.019544546567 Long DBT CORP US N 2 2024-04-15 Fixed 0.05500000 N N N N N N Corporate Office Properties Trust H0TWO5VRNEP6CQAWPX27 Corporate Office Properties, LP 22003BAL0 35000.00000000 PA USD 35565.99000000 0.007618809675 Long DBT CORP US N 2 2026-03-15 Fixed 0.02250000 N N N N N N TE Connectivity Ltd. 894500ZRIX9K13RHXR17 TE Connectivity, Ltd. H84989104 836.00000000 NS USD 107935.96000000 0.023121626486 Long EC CORP CH N 1 N N N First Republic Bank YWC0TIKBQM2JV8L4IV08 First Republic Bank 33616C100 2147.00000000 NS USD 358012.25000000 0.076692008132 Long EC CORP US N 1 N N N PIXELLE SPECIALTY SOLUTIONS 5493002S74PA4Q8Y8Z86 Pixelle Specialty Solutions, LLC, Term Loan N/A 604398.39000000 PA USD 603769.82000000 0.129337250180 Long DBT CORP US N 2 2024-10-31 Floating 0.07500000 N N N N N N Mid-America Apartment Communities, Inc. 549300FXWGE3QSYCUJ38 Mid-America Apartments, LP 59523UAP2 90000.00000000 PA USD 100641.83000000 0.021559105993 Long DBT CORP US N 2 2028-06-15 Fixed 0.04200000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136BDYR3 1679240.40200000 PA USD 93190.62000000 0.019962936427 Long ABS-CBDO USGSE US N 2 2036-02-25 Fixed 0.01500000 N N N N N N Biohaven Pharmaceutical Holding Company Ltd. 5299007STZTNN32O9920 Biohaven Pharmaceutical Holding Company, Ltd. G11196105 2133.00000000 NS USD 145790.55000000 0.031230691257 Long EC CORP VG N 1 N N N Hyundai Motor Company 549300RIPPWJB5Z0FK07 Hyundai Capital America 44891ABG1 67000.00000000 PA USD 69706.66000000 0.014932292779 Long DBT CORP US N 2 2027-02-10 Fixed 0.03000000 N N N N N N Callaway Golf Company 5493005UB0KFRKBPCU72 Callaway Golf Company, Convertible 131193AD6 19000.00000000 PA USD 32513.75000000 0.006964970554 Long DBT CORP US N 2 2026-05-01 Fixed 0.02750000 N N N N Y Callaway Golf Co Callaway Golf Co USD XXXX N N N Deere & Company E0KSF7PFQ210NWI8Z391 John Deere Capital Corporation 24422EVP1 67000.00000000 PA USD 65245.29000000 0.013976595245 Long DBT CORP US N 2 2028-03-06 Fixed 0.01500000 N N N N N N U.S. Bancorp N/A USB Realty Corporation 903312AA4 184000.00000000 PA USD 142600.00000000 0.030547223900 Long DBT CORP US N 2 2022-01-15 Floating 0.01388300 N N N N N N Canadian Natural Resources Limited 549300T15RIMIKZC5Q38 Canadian Natural Resources, Ltd. 136385AZ4 113000.00000000 PA USD 114264.57000000 0.024477316996 Long DBT CORP CA N 2 2025-07-15 Fixed 0.02050000 N N N N N N Harley-Davidson, Inc. ZDNAWZWXIKMWI51R2A08 Harley-Davidson, Inc. 412822108 8180.00000000 NS USD 328018.00000000 0.070266755184 Long EC CORP US N 1 N N N Buckeye Partners, L.P. 549300C1PQJLVEIUBK50 Buckeye Partners, LP 118230AT8 80000.00000000 PA USD 81623.34000000 0.017485038165 Long DBT CORP US N 2 2025-03-01 Fixed 0.04125000 N N N N N N Cooperatieve Rabobank U.A. DG3RU1DBUFHT4ZF9WN62 Cooperatieve Centrale Raiffeisen-Boerenleenbank BA 21685WDF1 86000.00000000 PA USD 90550.38000000 0.019397354362 Long DBT CORP NL N 2 2022-11-09 Fixed 0.03950000 N N N N N N Telephone and Data Systems, Inc. N/A Telephone & Data Systems, Inc. 879433829 1075.00000000 NS USD 24682.00000000 0.005287283171 Long EC CORP US N 1 N N N PetSmart, Inc. N/A PetSmart, Inc., Term Loan N/A 785000.00000000 PA USD 783194.50000000 0.167772915489 Long DBT CORP US N 2 2028-02-12 Floating 0.04500000 N N N N N N Danaher Corporation S4BKK9OTCEWQ3YHPFM11 Danaher Corporation, Convertible, 5.000% 235851409 89.00000000 NS USD 115272.80000000 0.024693296151 Long EP CORP US N 1 N N N LCPR LOAN FINANCING LLC N/A LCPR Loan Financing, LLC, Term Loan N/A 315000.00000000 PA USD 315393.75000000 0.067562436872 Long DBT CORP US N 2 2026-10-23 Floating 0.00000000 N N N N N N Axalta Coating Systems Ltd. 529900AGLPA40GV6H619 Axalta Coating Systems, Ltd. G0750C108 12173.00000000 NS USD 360077.34000000 0.077134383775 Long EC CORP US N 1 N N N AMN Healthcare Services, Inc. 529900W3ARRTCNFH2I39 AMN Healthcare Services, Inc. 001744101 4084.00000000 NS USD 300990.80000000 0.064477092282 Long EC CORP US N 1 N N N Ameren Corporation XRZQ5S7HYJFPHJ78L959 Ameren Corporation 023608AK8 45000.00000000 PA USD 43495.87000000 0.009317518089 Long DBT CORP US N 2 2028-03-15 Fixed 0.01750000 N N N N N N Catalent, Inc. N/A Catalent, Inc. 148806102 2635.00000000 NS USD 277491.85000000 0.059443237534 Long EC CORP US N 1 N N N TC Energy Corporation 549300UGKOFV2IWJJG27 TC Energy Corporation 87807B107 770.00000000 NS USD 35227.50000000 0.007546299648 Long EC CORP CA N 1 N N N American International Group, Inc. ODVCVCQG2BP6VHV36M30 American International Group, Inc. 026874DK0 90000.00000000 PA USD 101072.77000000 0.021651420304 Long DBT CORP US N 2 2028-04-01 Fixed 0.04200000 N N N N N N PENNYMAC FIN SVCS INC 549300W1D516HBDEU871 PennyMac Financial Services, Inc. 70932MAB3 60000.00000000 PA USD 57375.00000000 0.012290651972 Long DBT CORP US N 2 2029-02-15 Fixed 0.04250000 N N N N N N DOMINION ENERGY INC ILUL7B6Z54MRYCF6H308 Dominion Energy, Inc. 25746UDG1 45000.00000000 PA USD 47912.38000000 0.010263605886 Long DBT CORP US N 2 2030-04-01 Fixed 0.03375000 N N N N N N Norbord Inc. 549300VL705RQ5PHI407 Norbord, Inc. 65548PAF3 80000.00000000 PA USD 85264.00000000 0.018264926357 Long DBT CORP CA N 2 2027-07-15 Fixed 0.05750000 N N N N N N Costco Wholesale Corporation 29DX7H14B9S6O3FD6V18 Costco Wholesale Corporation 22160K105 1653.00000000 NS USD 582649.44000000 0.124812923555 Long EC CORP US N 1 N N N Iron Mountain Incorporated SQL3F6CKNNBM3SQGHX24 Iron Mountain, Inc. 46284VAC5 80000.00000000 PA USD 81850.00000000 0.017533592399 Long DBT CORP US N 2 2027-09-15 Fixed 0.04875000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967LG4 43000.00000000 PA USD 44020.66000000 0.009429936586 Long DBT CORP US N 2 2022-04-25 Fixed 0.02750000 N N N N N N Walmart Inc. Y87794H0US1R65VBXU25 Wal-Mart Stores, Inc. 931142103 8121.00000000 NS USD 1103075.43000000 0.236296578814 Long EC CORP US N 1 N N N Entergy Corporation 4XM3TW50JULSLG8BNC79 Entergy Corporation 29364GAM5 34000.00000000 PA USD 33201.43000000 0.007112282721 Long DBT CORP US N 2 2025-09-15 Fixed 0.00900000 N N N N N N Global Payments Inc. 549300NOMHGVQBX6S778 Global Payments, Inc. 37940XAA0 17000.00000000 PA USD 17861.55000000 0.003826232588 Long DBT CORP US N 2 2025-02-15 Fixed 0.02650000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967MV0 200000.00000000 PA USD 199066.00000000 0.042643153386 Long DBT CORP US N 2 2026-02-18 Variable 0.03875000 N N N N N N OneMain Holdings, Inc. 5493008I795YYBFWFU90 Springleaf Finance Corporation 85172FAM1 90000.00000000 PA USD 102368.25000000 0.021928933050 Long DBT CORP US N 2 2025-03-15 Fixed 0.06875000 N N N N N N ASGN Incorporated LZBNYYCBUKY537072438 ASGN, Inc. 00191U102 3100.00000000 NS USD 295864.00000000 0.063378848891 Long EC CORP US N 1 N N N Crocs, Inc. 549300B0J6YCXD63OG72 Crocs, Inc. 227046109 3267.00000000 NS USD 262830.15000000 0.056302464514 Long EC CORP US N 1 N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company, 5.750% 48128B655 3350.00000000 NS USD 90818.50000000 0.019454789998 Long EP CORP US N 1 N N N Vericrest Opportunity Loan Transferee N/A Vericrest Opportunity Loan Transferee 92873CAB0 200000.00000000 PA USD 198711.20000000 0.042567149494 Long ABS-CBDO CORP US N 2 2051-02-27 Variable 0.04826200 N N N N N N Micron Technology, Inc. B3DXGBC8GAIYWI2Z0172 Micron Technology, Inc. 595112BM4 45000.00000000 PA USD 51493.22000000 0.011030679668 Long DBT CORP US N 2 2026-02-06 Fixed 0.04975000 N N N N N N Covanta Holding Corporation 40XIFLS8XDQGGHGPGC04 Covanta Holding Corporation 22282EAJ1 25000.00000000 PA USD 25250.00000000 0.005408957948 Long DBT CORP US N 2 2030-09-01 Fixed 0.05000000 N N N N N N Eastman Chemical Company FDPVHDGJ1IQZFK9KH630 Eastman Chemical Company 277432100 2646.00000000 NS USD 291377.52000000 0.062417772390 Long EC CORP US N 1 N N N Southwest Airlines Co. UDTZ87G0STFETI6HGH41 Southwest Airlines Company 844741108 7882.00000000 NS USD 481274.92000000 0.103096863525 Long EC CORP US N 1 N N N Targa Resources Corp. N/A Targa Resources Partners, LP 87612BBG6 20000.00000000 PA USD 20825.00000000 0.004461051456 Long DBT CORP US N 2 2028-01-15 Fixed 0.05000000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 17327CAM5 159000.00000000 PA USD 155529.12000000 0.033316850291 Long DBT CORP US N 2 2027-01-28 Variable 0.01122000 N N N N N N Ford Motor Company UDSQCVRUX5BONN0VY111 Ford Motor Credit Company, LLC 345397ZX4 240000.00000000 PA USD 251772.00000000 0.053933630124 Long DBT CORP US N 2 2024-11-01 Fixed 0.04063000 N N N N N N The Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38141G104 727.00000000 NS USD 237729.00000000 0.050925392640 Long EC CORP US N 1 N N N United Airlines Holdings, Inc. K1OQBWM7XEOO08LDNP29 United Airlines, Inc., Term Loan N/A 513316.20000000 PA USD 497824.32000000 0.106642012384 Long DBT CORP US N 2 2024-04-01 Floating 0.01865100 N N N N N N Charter Communications, Inc. N/A Charter Communications Operating, LLC 161175BQ6 50000.00000000 PA USD 54687.02000000 0.011714843228 Long DBT CORP US N 2 2024-02-01 Fixed 0.04500000 N N N N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T, Inc. 00206RML3 90000.00000000 PA USD 89968.40000000 0.019272684843 Long DBT CORP US N 2 2026-03-25 Fixed 0.01700000 N N N N N N National Instruments Corporation 549300TP4OOPCYWDUP86 National Instruments Corporation 636518102 6577.00000000 NS USD 284027.75000000 0.060843332910 Long EC CORP US N 1 N N N RACKSPACE TECHNOLOGY 549300QTYCKLMFSE8I97 Rackspace Technology Global, Inc. 750098AA3 60000.00000000 PA USD 61009.50000000 0.013069220592 Long DBT CORP US N 2 2028-12-01 Fixed 0.05375000 N N N N N Sumitomo Mitsui Financial Group, Inc. 35380028MYWPB6AUO129 Sumitomo Mitsui Financial Group, Inc. 86562MAU4 42000.00000000 PA USD 43441.08000000 0.009305781186 Long DBT CORP JP N 2 2022-10-18 Fixed 0.02778000 N N N N N N Ortho-Clinical Diagnostics, Inc. 222100N2EDW8BU5UUT55 Ortho-Clinical Diagnostics SA, Term Loan N/A 765947.94000000 PA USD 764224.56000000 0.163709247856 Long DBT CORP US N 2 2025-06-30 Floating 0.03359200 N N N N N N The E.W. Scripps Company N/A Scripps Escrow II, Inc. 81105DAB1 35000.00000000 PA USD 34737.50000000 0.007441333732 Long DBT CORP US N 2 2031-01-15 Fixed 0.05375000 N N N N N N DISH DBS CORP N/A DISH DBS Corporation 25470XBB0 60000.00000000 PA USD 62943.00000000 0.013483407531 Long DBT CORP US N 2 2028-07-01 Fixed 0.07375000 N N N N N N Enbridge Inc. 98TPTUM4IVMFCZBCUR27 Enbridge, Inc. 29250NAW5 267000.00000000 PA USD 279522.88000000 0.059878316974 Long DBT CORP CA N 2 2078-03-01 Variable 0.06250000 N N N N N N MGM Resorts International 54930066VBP7DZEGGJ87 MGM Resorts International 552953CC3 60000.00000000 PA USD 64275.00000000 0.013768743451 Long DBT CORP US N 2 2023-03-15 Fixed 0.06000000 N N N N N N Alliance Data Systems Corporation 549300G8S4PO686J7H97 Alliance Data Systems Corporation 018581108 3137.00000000 NS USD 351626.33000000 0.075324040895 Long EC CORP US N 1 N N N Thermo Fisher Scientific Inc. HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific, Inc. 883556102 2840.00000000 NS USD 1296119.20000000 0.277649673237 Long EC CORP US N 1 N N N SIMON PROPERTY GROUP LP MR92GTD0MJTTTTQDVG45 Simon Property Group, LP 828807DK0 45000.00000000 PA USD 45106.70000000 0.009662583901 Long DBT CORP US N 2 2030-07-15 Fixed 0.02650000 N N N N N N HEICO Corporation 529900O1DTDLCJ7L0I14 Heico Corporation 422806109 2463.00000000 NS USD 309845.40000000 0.066373890660 Long EC CORP US N 1 N N N Anheuser-Busch InBev SA/NV 549300CRGMZK3K53BF92 Anheuser-Busch InBev Worldwide, Inc. 035240AQ3 90000.00000000 PA USD 105169.34000000 0.022528971784 Long DBT CORP US N 2 2029-01-23 Fixed 0.04750000 N N N N N N Kinder Morgan, Inc. 549300WR7IX8XE0TBO16 Kinder Morgan, Inc. 49456B101 17547.00000000 NS USD 292157.55000000 0.062584867419 Long EC CORP US N 1 N N N Allied Universal Security Services LLC N/A Allied Universal Holdco, LLC 019576AA5 70000.00000000 PA USD 74233.60000000 0.015902036466 Long DBT CORP US N 2 2026-07-15 Fixed 0.06625000 N N N N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599105 6641.00000000 NS USD 176783.42000000 0.037869864744 Long EC CORP US N 1 N N N Lowe's Companies, Inc. WAFCR4OKGSC504WU3E95 Lowe's Companies, Inc. 548661107 5806.00000000 NS USD 1104185.08000000 0.236534283772 Long EC CORP US N 1 N N N Johnson Controls International plc 549300XQ6S1GYKGBL205 Johnson Controls International plc G51502105 13072.00000000 NS USD 780006.24000000 0.167089938687 Long EC CORP IE N 1 N N N Howmet Aerospace Inc. 549300HO5WFZUT5N2T22 Howmet Aerospace, Inc. 443201108 12070.00000000 NS USD 387809.10000000 0.083074974812 Long EC CORP US N 1 N N N iHeartMedia, Inc. 54930076J6KDZL504O62 iHeartCommunications, Inc. 45174HBG1 70000.00000000 PA USD 70525.00000000 0.015107594428 Long DBT CORP US N 2 2028-01-15 Fixed 0.04750000 N N N N N N CONSOL Energy Inc. 549300YJCTPJBTK7IJ81 CONSOL Energy, Inc. 20854L108 445.00000000 NS USD 4325.40000000 0.000926570562 Long EC CORP US N 1 N N N Toll Brothers, Inc. N/A Toll Brothers Finance Corporation 88947EAK6 68000.00000000 PA USD 69700.00000000 0.014930866099 Long DBT CORP US N 2 2022-02-15 Fixed 0.05875000 N N N N N N SunCoke Energy, Inc. 1KF1J2NXQE2PI0QOB943 SunCoke Energy, Inc. 86722A103 662.00000000 NS USD 4640.62000000 0.000994095779 Long EC CORP US N 1 N N N Universal Insurance Holdings, Inc. 529900GGAZ6WVUCWQM46 Universal Insurance Holdings, Inc. 91359V107 281.00000000 NS USD 4029.54000000 0.000863192570 Long EC CORP US N 1 N N N MAUSER PACKAGING SOLUTIONS 549300DNGHXL0OMHW304 Mauser Packaging Solutions Holding Company, Term Loan N/A 496157.99000000 PA USD 484994.44000000 0.103893644803 Long DBT CORP US N 2 2024-04-03 Floating 0.03442600 N N N N N N Morgan Stanley NZ7KR43H6Z5W1GY0QX46 Eaton Vance Limited Duration Income Fund 27828H105 4342.00000000 NS USD 54839.46000000 0.011747498339 Long RF US N 1 N N N The Mosaic Company 2YD5STGSJNMUB7H76907 Mosaic Company 61945CAG8 67000.00000000 PA USD 74372.45000000 0.015931780379 Long DBT CORP US N 2 2027-11-15 Fixed 0.04050000 N N N N N N GC Advisors LLC 2549005WE0QLGK9APF78 Golub Capital BDC, Inc. 38173M102 3160.00000000 NS USD 46199.20000000 0.009896615051 Long EC CORP US N 1 N N N TRANSDIGM INC 88Q84GB3X55CF5OC7582 TransDigm, Inc. 893647BM8 20000.00000000 PA USD 19721.00000000 0.004224556820 Long DBT CORP US N 2 2029-01-15 Fixed 0.04625000 N N N N N N Bunge Limited 549300QHC068L40NNM71 Bunge, Ltd. Finance Corporation 120568BB5 41000.00000000 PA USD 41017.87000000 0.008786690454 Long DBT CORP US N 2 2025-08-17 Fixed 0.01630000 N N N N N N Duke Energy Corporation I1BZKREC126H0VB1BL91 Duke Energy Corporation 26441C204 4932.00000000 NS USD 476085.96000000 0.101985304458 Long EC CORP US N 1 N N N Gartner, Inc. PP55B5R38BFB8O8HH686 Gartner, Inc. 366651AE7 75000.00000000 PA USD 74379.75000000 0.015933344157 Long DBT CORP US N 2 2030-10-01 Fixed 0.03750000 N N N N N N AT&T Inc. 549300Z40J86GGSTL398 AT&T, Inc. 00206RGQ9 67000.00000000 PA USD 75426.70000000 0.016157617762 Long DBT CORP US N 2 2030-02-15 Fixed 0.04300000 N N N N N N HCA Healthcare, Inc. 529900PH4ZGUH2MNEU89 HCA Healthcare, Inc. 40412C101 2556.00000000 NS USD 481397.04000000 0.103123023602 Long EC CORP US N 1 N N N Bombardier Inc. W7L3VLU8EHQY34Z36697 Bombardier, Inc. 097751BM2 70000.00000000 PA USD 68862.50000000 0.014751460068 Long DBT CORP CA N 2 2025-03-15 Fixed 0.07500000 N N N N N N Canadian Imperial Bank of Commerce 2IGI19DL77OX0HC3ZE78 Canadian Imperial Bank of Commerce 13607GLZ5 32000.00000000 PA USD 33184.60000000 0.007108677463 Long DBT CORP CA N 2 2025-01-28 Fixed 0.02250000 N N N N N N Devon Energy Corporation ZXZE9GCS2BB547GJW219 WPX Energy, Inc. 98212BAE3 35000.00000000 PA USD 38806.25000000 0.008312925718 Long DBT CORP US N 2 2024-09-15 Fixed 0.05250000 N N N N N N Vodafone Group Plc 213800TQASLF9JXH5J59 Ziggo BV 98954NAA7 110000.00000000 PA USD 114537.50000000 0.024535783011 Long DBT CORP NL N 2 2027-01-15 Fixed 0.05500000 N N N N N N CenterPoint Energy, Inc. 21TPXMRRHFKOBHDC8J74 CenterPoint Energy, Inc. 15189TAR8 43000.00000000 PA USD 44158.14000000 0.009459387023 Long DBT CORP US N 2 2022-09-01 Fixed 0.02500000 N N N N N N Endo International plc 549300KK5WR4MGN4YT97 Par Pharmaceutical, Inc. 69888XAA7 110000.00000000 PA USD 116671.50000000 0.024992920289 Long DBT CORP US N 2 2027-04-01 Fixed 0.07500000 N N N N N N Jefferies Financial Group Inc. 549300HOF34RGOJ5YL07 Jefferies Financial Group, Inc. 47233W109 2118.00000000 NS USD 63751.80000000 0.013656665558 Long EC CORP US N 1 N N N Sempra Energy PBBKGKLRK5S5C0Y4T545 Sempra Energy 816851BG3 67000.00000000 PA USD 71853.34000000 0.015392146318 Long DBT CORP US N 2 2028-02-01 Fixed 0.03400000 N N N N N N Genesis Energy, L.P. N/A Genesis Energy, LP 37185LAJ1 40000.00000000 PA USD 39210.00000000 0.008399415491 Long DBT CORP US N 2 2025-10-01 Fixed 0.06500000 N N N N N N Royal Caribbean Cruises Ltd. K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises, Ltd. 780153BG6 35000.00000000 PA USD 35175.00000000 0.007535053300 Long DBT CORP LR N 2 2028-04-01 Fixed 0.05500000 N N N N N N Activision Blizzard, Inc. 549300TPQQDBP9GNOF40 Activision Blizzard, Inc. 00507V109 5468.00000000 NS USD 508524.00000000 0.108934056708 Long EC CORP US N 1 N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136BD2F4 3021130.91700000 PA USD 201139.65000000 0.043087362719 Long ABS-CBDO USGSE US N 2 2036-02-25 Fixed 0.01500000 N N N N N N Starwood Property Trust, Inc. BUGSFQZERKRBFWIG5267 Starwood Property Trust, Inc. 85571B105 2197.00000000 NS USD 54353.78000000 0.011643457836 Long EC CORP US N 1 N N N Groupe BPCE 9695005MSX1OYEMGDF46 BPCE SA 05583JAG7 32000.00000000 PA USD 33060.10000000 0.007082007551 Long DBT CORP FR N 2 2025-01-14 Fixed 0.02375000 N N N N N N United Natural Foods, Inc. 549300GKGW6WPZ282D40 United Natural Foods, Inc. 911163AA1 70000.00000000 PA USD 74812.50000000 0.016026046199 Long DBT CORP US N 2 2028-10-15 Fixed 0.06750000 N N N N N N Monster Beverage Corporation 52990090AP0E7HCB6F33 Monster Beverage Corporation 61174X109 4587.00000000 NS USD 417829.83000000 0.089505900204 Long EC CORP US N 1 N N N Cummins Inc. ZUNI8PYC725B6H8JU438 Cummins, Inc. 231021106 27.00000000 NS USD 6995.97000000 0.001498649803 Long EC CORP US N 1 N N N The Walt Disney Company 549300GZKULIZ0WOW665 Walt Disney Company 254687FQ4 45000.00000000 PA USD 50157.38000000 0.010744521157 Long DBT CORP US N 2 2030-03-22 Fixed 0.03800000 N N N N N N The Charles Schwab Corporation 549300VSGCJ7E698NM85 Charles Schwab Corporation 808513BK0 128000.00000000 PA USD 129894.40000000 0.027825479103 Long DBT CORP US N 2 2026-06-01 Variable 0.04000000 N N N N N N Darden Restaurants, Inc. CY1NFSCCB5GUXC7WZC70 Darden Restaurants, Inc. 237194AL9 90000.00000000 PA USD 97973.83000000 0.020987577288 Long DBT CORP US N 2 2027-05-01 Fixed 0.03850000 N N N N N N Covanta Holding Corporation 40XIFLS8XDQGGHGPGC04 Covanta Holding Corporation 22282EAH5 70000.00000000 PA USD 73062.50000000 0.015651167925 Long DBT CORP US N 2 2027-01-01 Fixed 0.06000000 N N N N N N NFP CORP VO2L9FZNXDJNQNEYH039 NFP Corporation 65342RAD2 30000.00000000 PA USD 31125.00000000 0.006667477867 Long DBT CORP US N 2 2028-08-15 Fixed 0.06875000 N N N N N N DICK'S Sporting Goods, Inc. 529900SSBV5I4LWSK313 Dick's Sporting Goods, Inc. 253393102 70.00000000 NS USD 5330.50000000 0.001141879221 Long EC CORP US N 1 N N N Quidel Corporation 549300X2FQ6S98OQLQ46 Quidel Corporation 74838J101 1474.00000000 NS USD 188568.82000000 0.040394487833 Long EC CORP US N 1 N N N Tencent Holdings Limited 254900N4SLUMW4XUYY11 Tencent Holdings, Ltd. 88032WAT3 41000.00000000 PA USD 41126.89000000 0.008810044299 Long DBT CORP KY N 2 2026-01-26 Fixed 0.01810000 N N N N N N Olin Corporation 549300GKK294V7W57P06 Olin Corporation 680665AJ5 150000.00000000 PA USD 155250.00000000 0.033257058278 Long DBT CORP US N 2 2027-09-15 Fixed 0.05125000 N N N N N N Rayonier Inc. HGV8VDVNL0W6SF2U9C50 Rayonier, Inc. REIT 754907103 3469.00000000 NS USD 111875.25000000 0.023965486049 Long EC CORP US N 1 N N N Ross Stores, Inc. 549300ENZFLPGRDFZQ60 Ross Stores, Inc. 778296AG8 45000.00000000 PA USD 42213.95000000 0.009042910114 Long DBT CORP US N 2 2031-04-15 Fixed 0.01875000 N N N N N N S&P Global Inc. Y6X4K52KMJMZE7I7MY94 S&P Global, Inc. 78409V104 2469.00000000 NS USD 871236.03000000 0.186632833648 Long EC CORP US N 1 N N N GFL Environmental Inc. 549300FYK4MBXWIVZU26 GFL Environmental, Inc. 36168QAL8 20000.00000000 PA USD 19350.00000000 0.004145082626 Long DBT CORP CA N 2 2028-08-01 Fixed 0.04000000 N N N N N N CAESARS RESORT COLLECTION 549300V3UCT773B1KR38 Caesars Resort Collection, LLC, Term Loan N/A 691525.00000000 PA USD 692389.41000000 0.148320998130 Long DBT CORP US N 2 2025-07-20 Floating 0.04608500 N N N N N N The Bank of Nova Scotia L3I9ZG2KFGXZ61BMYR72 Bank of Nova Scotia 0641593U8 45000.00000000 PA USD 44284.45000000 0.009486444666 Long DBT CORP CA N 2 2026-03-02 Fixed 0.01050000 N N N N N N Westpac Banking Corporation EN5TNI6CI43VEPAMHL14 Westpac Banking Corporation 961214EF6 67000.00000000 PA USD 71543.27000000 0.015325724314 Long DBT CORP AU N 2 2034-07-24 Variable 0.04110000 N N N N N N Eaton Corporation plc 549300VDIGTMXUNT7H71 Eaton Corporation plc G29183103 2391.00000000 NS USD 330627.48000000 0.070825747960 Long EC CORP IE N 1 N N N Chimera Investment Corporation 2JBBQFJOL123LOUBE657 Chimera Investment Corporation 16934Q208 2943.00000000 NS USD 37376.10000000 0.008006564482 Long EC CORP US N 1 N N N Equitable Holdings, Inc. 549300FIBAKMNHPZ4009 Equitable Holdings, Inc., 5.250% 29452E200 5875.00000000 NS USD 154395.00000000 0.033073903464 Long EP CORP US N 1 N N N Honeywell International Inc. ISRPG12PN4EIEOEMW547 Honeywell International, Inc. 438516106 5027.00000000 NS USD 1091210.89000000 0.233755002658 Long EC CORP US N 1 N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 6174468P7 134000.00000000 PA USD 145489.76000000 0.031166257180 Long DBT CORP US N 2 2031-04-01 Variable 0.03622000 N N N N N N Charter Communications, Inc. N/A Charter Communications Operating, LLC 161175AY0 68000.00000000 PA USD 77087.98000000 0.016513490778 Long DBT CORP US N 2 2025-07-23 Fixed 0.04908000 N N N N N N Comcast Corporation 51M0QTTNCGUN7KFCFZ59 Comcast Corporation 20030NBW0 54000.00000000 PA USD 56367.58000000 0.012074846332 Long DBT CORP US N 2 2027-01-15 Fixed 0.02350000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136ABCF8 1164116.87000000 PA USD 60689.25000000 0.013000617868 Long ABS-CBDO USGSE US N 2 2028-01-25 Fixed 0.03000000 N N N N N N Visa Inc. 549300JZ4OKEHW3DPJ59 Visa, Inc. 92826C839 1951.00000000 NS USD 413085.23000000 0.088489530228 Long EC CORP US N 1 N N N Public Storage 549300LMZF40TKJ6DM64 Public Storage, Inc. 74460D109 1780.00000000 NS USD 439232.80000000 0.094090762173 Long EC CORP US N 1 N N N Lululemon Athletica Inc. 549300D9GZ4BMLDW5T40 Lululemon Athletica, Inc. 550021109 1606.00000000 NS USD 492576.26000000 0.105517793142 Long EC CORP US N 1 N N N EchoStar Corporation N/A Hughes Satellite Systems Corporation 444454AF9 40000.00000000 PA USD 44324.00000000 0.009494916915 Long DBT CORP US N 2 2026-08-01 Fixed 0.06625000 N N N N N N Reinsurance Group of America, Incorporated LORM1GNEU1DKEW527V90 Reinsurance Group of America, Inc. 759351AL3 64000.00000000 PA USD 70105.02000000 0.015017627927 Long DBT CORP US N 2 2023-09-15 Fixed 0.04700000 N N N N N N Bank of America Corporation N/A Merrill Lynch Mortgage Investors Trust 59020UYW9 265075.33900000 PA USD 154054.79000000 0.033001024986 Long ABS-CBDO CORP US N 2 2035-06-25 Variable 0.03554100 N N N N N N Barclays PLC 213800LBQA1Y9L22JB70 Barclays plc 06738EBE4 65000.00000000 PA USD 67157.09000000 0.014386133693 Long DBT CORP GB N 2 2023-02-15 Variable 0.04610000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136AFXT6 469709.72200000 PA USD 26231.22000000 0.005619151125 Long ABS-CBDO USGSE US N 2 2028-06-25 Fixed 0.02500000 N N N N N N Mitsubishi UFJ Financial Group, Inc. 353800V2V8PUY9TK3E06 Mitsubishi UFJ Financial Group, Inc. 606822BS2 41000.00000000 PA USD 40971.87000000 0.008776836511 Long DBT CORP JP N 2 2025-07-17 Fixed 0.01412000 N N N N N N AerCap Holdings N.V. 549300SZYINBBLJQU475 AerCap Holdings NV 00774YAA7 34000.00000000 PA USD 34975.97000000 0.007492417859 Long DBT CORP NL N 2 2079-10-10 Variable 0.05875000 N N N N N N Annaly Capital Management, Inc. 2DTL0G3FPRYUT58TI025 Annaly Capital Management, Inc. 035710409 16493.00000000 NS USD 141839.80000000 0.030384376778 Long EC CORP US N 1 N N N Srm Escrow Issuer LLC N/A SRM Escrow Issuer, LLC 85236FAA1 85000.00000000 PA USD 89080.00000000 0.019082375210 Long DBT CORP US N 2 2028-11-01 Fixed 0.06000000 N N N N N N Kohl's Corporation 549300JF6LPRTRJ0FH50 Kohl's Corporation 500255104 2732.00000000 NS USD 162854.52000000 0.034886069323 Long EC CORP US N 1 N N N Morgan Stanley & Co N/A CBOT U.S. Long Bond N/A 3.00000000 NC USD -1787.85000000 -0.00038298635 N/A DIR CORP US N 1 Morgan Stanley & Company N/A Long United States Department of The Treasury United States Treasury Note/Bond 2021-06-22 465569.10000000 USD -1787.85000000 N N N Legg Mason, Inc. 549300S7N70O2ERKYG47 Western Asset High Income Opportunity Fund, Inc. 95766K109 16372.00000000 NS USD 83169.76000000 0.017816306314 Long RF US N 1 N N N Wells Fargo & Company N/A Wachovia Capital Trust II 929768AA7 50000.00000000 PA USD 47924.84000000 0.010266275020 Long DBT CORP US N 2 2027-01-15 Floating 0.00741300 N N N N N N Icahn Enterprises L.P. N/A Icahn Enterprises, LP 451102BQ9 90000.00000000 PA USD 92925.00000000 0.019906036331 Long DBT CORP US N 2 2025-12-15 Fixed 0.06375000 N N N N N N Staples, Inc. XQM2JINI1UL7642TU573 Staples, Inc., Term Loan N/A 322693.22000000 PA USD 314358.05000000 0.067340573198 Long DBT CORP US N 2 2026-04-12 Floating 0.05205000 N N N N N N The Charles Schwab Corporation 549300VSGCJ7E698NM85 Charles Schwab Corporation 808513105 16019.00000000 NS USD 1044118.42000000 0.223667034740 Long EC CORP US N 1 N N N Cimarex Energy Co. 11KYOFXPU1C4CQL1CL44 Cimarex Energy Company 171798AC5 90000.00000000 PA USD 97881.24000000 0.020967743014 Long DBT CORP US N 2 2024-06-01 Fixed 0.04375000 N N N N N N Lumentum Holdings Inc. 549300JLWRRC38DWEF52 Lumentum Holdings, Inc. 55024U109 616.00000000 NS USD 56271.60000000 0.012054285865 Long EC CORP US N 1 N N N Western Alliance Bancorporation 5493003VJXZ5JXT9S762 Western Alliance Bancorp 957638109 12553.00000000 NS USD 1185505.32000000 0.253954393021 Long EC CORP US N 1 N N N Oracle Corporation 1Z4GXXU7ZHVWFCD8TV52 Oracle Corporation 68389XBB0 30000.00000000 PA USD 30585.64000000 0.006551938241 Long DBT CORP US N 2 2022-05-15 Fixed 0.02500000 N N N N N N Lumentum Holdings Inc. 549300JLWRRC38DWEF52 Lumentum Holdings, Inc., Convertible 55024UAB5 134000.00000000 PA USD 214661.79000000 0.045984023575 Long DBT CORP US N 2 2024-03-15 Fixed 0.00250000 N N N N Y Lumentum Holdings Inc Lumentum Holdings Inc USD XXXX N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation, 5.375% 06053U601 2000.00000000 NS USD 54160.00000000 0.011601947029 Long EP CORP US N 1 N N N United Airlines Pass Through Trust Series 2015-1 -A N/A United Airlines Pass Through Trust 90932LAB3 65000.00000000 PA USD 65893.85000000 0.014115527276 Long DBT CORP US N 2 2022-12-01 Fixed 0.03700000 N N N N N N BP plc 5493009NTB34VXE1T760 BP Capital Markets America, Inc. 10373QBH2 33000.00000000 PA USD 34661.53000000 0.007425059730 Long DBT CORP US N 2 2023-04-06 Fixed 0.02937000 N N N N N N Federal Home Loan Mortgage Corporation N/A Federal Home Loan Mortgage Corporation Conventional 30-Yr. Pass Through 3131XXDN8 64291.98800000 PA USD 68252.33000000 0.014620751796 Long ABS-MBS USGSE US N 2 2047-07-01 Fixed 0.03500000 N N N N N N Ecolab Inc. 82DYEISM090VG8LTLS26 Ecolab, Inc. 278865100 1616.00000000 NS USD 345937.12000000 0.074105320196 Long EC CORP US N 1 N N N Federal Home Loan Banks Office of Finance 2549001DPIFGXC1TOL40 Federal Home Loan Bank Discount Notes 313385FU5 400000.00000000 PA USD 399994.67000000 0.085685320780 Long STIV USGSE US N 2 N N N Mastercard Incorporated AR5L2ODV9HN37376R084 Mastercard, Inc. 57636Q104 4441.00000000 NS USD 1581218.05000000 0.338722453073 Long EC CORP US N 1 N N N Federal Home Loan Banks Office of Finance 2549001DPIFGXC1TOL40 Federal Home Loan Bank Discount Notes 313385EH5 200000.00000000 PA USD 200000.00000000 0.042843231276 Long STIV USGSE US N 2 N N N Sabre Corporation 529900VKCYZW8GZ4WW58 Sabre Corporation 78573M104 16440.00000000 NS USD 243476.40000000 0.052156578577 Long EC CORP US N 1 N N N Truist Financial Corporation 549300DRQQI75D2JP341 Truist Financial Corporation 89832Q109 8477.00000000 NS USD 494378.64000000 0.105903892058 Long EC CORP US N 1 N N N CIT Group Inc. N8O96ZZJQRFYQUJY7K79 CIT Group, Inc. 125581GW2 90000.00000000 PA USD 101362.50000000 0.021713485151 Long DBT CORP US N 2 2025-03-07 Fixed 0.05250000 N N N N N N REYNOLDS GROUP HOLDINGS 5493002QNV81KCX40V06 Pactiv Evergreen Group Holdings, Inc., Term Loan N/A 122629.91000000 PA USD 122036.38000000 0.026142164262 Long DBT CORP US N 2 2023-02-05 Floating 0.02858500 N N N N N N Federal Home Loan Mortgage Corporation N/A Federal Home Loan Mortgage Corporation Conventional 30-Yr. Pass Through 3133KHMS2 575431.19900000 PA USD 600563.88000000 0.128650486035 Long ABS-MBS USGSE US N 2 2050-03-25 Fixed 0.03000000 N N N N N N The Royal Bank of Scotland Group plc 2138005O9XJIJN4JPN90 Natwest Group plc 780097AY7 35000.00000000 PA USD 38732.81000000 0.008297193684 Long DBT CORP GB N 2 2023-06-10 Fixed 0.06100000 N N N N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Notes 91282CBM2 2830000.00000000 PA USD 2814744.55000000 0.602963758699 Long DBT UST US N 2 2024-02-15 Fixed 0.00125000 N N N N N N General Electric Company 549300XAGH9TOLX5XM67 GE Capital Funding, LLC 36166NAB9 45000.00000000 PA USD 50946.87000000 0.010913642671 Long DBT CORP US N 2 2030-05-15 Fixed 0.04400000 N N N N N N Forward Air Corporation N/A Forward Air Corporation 349853101 3698.00000000 NS USD 328419.38000000 0.070352737265 Long EC CORP US N 1 N N N Caterpillar Inc. EDBQKYOPJUCJKLOJDE72 Caterpillar Financial Services Corporation 14913Q3A5 53000.00000000 PA USD 54256.16000000 0.011622546055 Long DBT CORP US N 2 2022-09-06 Fixed 0.01900000 N N N N N N Thrivent Mutual Funds N/A Thrivent Cash Management Trust N/A 2487819.00000000 PA USD 2487819.00000000 0.532931023955 Long STIV PF US N 2 N N PG&E Corporation 8YQ2GSDWYZXO2EDN3511 PG&E Corporation 69331CAH1 50000.00000000 PA USD 52823.75000000 0.011315700690 Long DBT CORP US N 2 2028-07-01 Fixed 0.05000000 N N N N N N Agree Realty Corporation N/A Agree Realty Corporation 008492100 1513.00000000 NS USD 101840.03000000 0.021815779792 Long EC CORP US N 1 N N N Radnor Re 2018-1 Limited 549300ED4YNDE7SVU538 Radnor RE, Ltd. 750496AB7 525000.00000000 PA USD 529085.34000000 0.113338627933 Long ABS-CBDO CORP BM N 2 2028-03-25 Floating 0.02808600 N N N N N N Lloyds Banking Group plc 549300PPXHEU2JF0AM85 Lloyds Banking Group plc 53944YAH6 65000.00000000 PA USD 70556.85000000 0.015114417213 Long DBT CORP GB N 2 2024-03-12 Fixed 0.03900000 N N N N N N Switch, Inc. N/A Switch, Ltd. 87105NAA8 70000.00000000 PA USD 68930.40000000 0.014766005345 Long DBT CORP US N 2 2028-09-15 Fixed 0.03750000 N N N N N N Marathon Oil Corporation 1FRVQX2CRLGC1XLP5727 Marathon Oil Corporation 565849AP1 45000.00000000 PA USD 49536.86000000 0.010611595748 Long DBT CORP US N 2 2027-07-15 Fixed 0.04400000 N N N N N N Everi Holdings Inc. 5299006DK5S7BG10K532 Everi Holdings, Inc. 30034T103 18632.00000000 NS USD 262897.52000000 0.056316896256 Long EC CORP US N 1 N N N GFL Environmental Inc. 549300FYK4MBXWIVZU26 GFL Environmental, Inc. 36168QAM6 65000.00000000 PA USD 63050.00000000 0.013506328659 Long DBT CORP CA N 2 2028-09-01 Fixed 0.03500000 N N N N N N Gray Television, Inc. 529900TM5726KDN7UU35 Gray Television, Inc. 389375106 808.00000000 NS USD 14867.20000000 0.003184794440 Long EC CORP US N 1 N N N Nucor Corporation 549300GGJCRSI2TIEJ46 Nucor Corporation 670346105 6769.00000000 NS USD 543347.63000000 0.116393840878 Long EC CORP US N 1 N N N First Mid Bancshares, Inc. N/A First Mid-Illinois Bancshares, Inc. 320866106 239.00000000 NS USD 10499.27000000 0.002249113264 Long EC CORP US N 1 N N N Morgan Stanley & Co N/A CME E-mini Russell 2000 Index N/A -125.00000000 NC USD -195345.21000000 -0.04184610005 N/A DE CORP US N 1 Morgan Stanley & Company N/A Short Russell 2000 Index RTY 2021-06-22 -13695279.79000000 USD -195345.21000000 N N N ENDO LUXEMBOURG FINANCE 222100B15VY0VVCTG251 Endo Luxembourg Finance Company, Term Loan N/A 235000.00000000 PA USD 232356.25000000 0.049774462786 Long DBT CORP US N 2 2028-03-25 Floating 0.00000000 N N N N N N Square, Inc. 549300OHIIUWSTIZME52 Square, Inc. 852234103 5550.00000000 NS USD 1260127.50000000 0.269939669601 Long EC CORP US N 1 N N N ORACLE CORP 1Z4GXXU7ZHVWFCD8TV52 Oracle Corporation 68389XBV6 45000.00000000 PA USD 46401.57000000 0.009939965975 Long DBT CORP US N 2 2030-04-01 Fixed 0.02950000 N N N N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136ACZY0 1712952.62500000 PA USD 89559.16000000 0.019185019024 Long ABS-CBDO USGSE US N 2 2028-03-25 Fixed 0.03000000 N N N N N N Equinor ASA OW6OFBNCKXC4US5C7523 Equinor ASA 29446MAD4 31000.00000000 PA USD 33100.94000000 0.007090756139 Long DBT CORP NO N 2 2025-04-06 Fixed 0.02875000 N N N N N N Discovery, Inc. 5493006ZCRFWKF6B1K26 Discovery, Inc., Class A 25470F104 4390.00000000 NS USD 190789.40000000 0.040870171946 Long EC CORP US N 1 N N Allianz SE 549300Q41U0QIEXCOU14 Pimco Dynamic Credit And Mortgage Income Fund 72202D106 2493.00000000 NS USD 55519.11000000 0.011893090349 Long RF US N 1 N N N JBS S.A. N/A JBS USA, LLC 46590XAB2 110000.00000000 PA USD 121741.95000000 0.026079092599 Long DBT CORP XX N 2 2030-01-15 Fixed 0.05500000 N N N N N N AVOLON TLB BORROWER 1 US 635400O84AGITYFZQB55 Avolon TLB Borrower 1 US, LLC, Term Loan N/A 408618.36000000 PA USD 406906.25000000 0.087165892883 Long DBT CORP US N 2 2025-01-15 Floating 0.02500000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46647PBQ8 24000.00000000 PA USD 24498.06000000 0.005247880252 Long DBT CORP US N 2 2024-06-01 Variable 0.01514000 N N N N N N The Royal Bank of Scotland Group plc 2138005O9XJIJN4JPN90 Natwest Group plc 780099CE5 35000.00000000 PA USD 37958.31000000 0.008131283270 Long DBT CORP GB N 2 2022-12-15 Fixed 0.06125000 N N N N N N Wells Fargo & Company PBLD0EJDB5FWOLXP3B76 Wells Fargo & Company 95000U2C6 38000.00000000 PA USD 41091.89000000 0.008802546734 Long DBT CORP US N 2 2024-01-24 Fixed 0.03750000 N N N N N N NGL Energy Partners LP N/A NGL Energy Operating, LLC 62922LAA6 50000.00000000 PA USD 51375.00000000 0.011005355034 Long DBT CORP US N 2 2026-02-01 Fixed 0.07500000 N N N N N N Antero Resources Corporation APVBKPOULHUX7YZLKU17 Antero Resources Corporation 03674X106 7756.00000000 NS USD 79111.20000000 0.016946897190 Long EC CORP US N 1 N N N Bank of America Corporation N/A CHL Mortgage Pass-Through Trust 126694QG6 107502.53700000 PA USD 110385.40000000 0.023646336108 Long ABS-CBDO CORP US N 2 2035-12-20 Variable 0.02793000 N N N N N N Southwest Airlines Co. UDTZ87G0STFETI6HGH41 Southwest Airlines Company 844741BK3 42000.00000000 PA USD 48286.12000000 0.010343667033 Long DBT CORP US N 2 2027-06-15 Fixed 0.05125000 N N N N N N Synchrony Financial 549300RS7EWPM9MA6C78 Synchrony Financial 87165BAD5 38000.00000000 PA USD 41336.68000000 0.008854984707 Long DBT CORP US N 2 2024-08-15 Fixed 0.04250000 N N N N N N Telephone and Data Systems, Inc. N/A United States Cellular Corporation 911684AD0 60000.00000000 PA USD 72671.40000000 0.015567387986 Long DBT CORP US N 2 2033-12-15 Fixed 0.06700000 N N N N N N Titan Acquisition Holdco Limited N/A Titan Acquisition, Ltd. 88827AAA1 30000.00000000 PA USD 31161.00000000 0.006675189649 Long DBT CORP XX N 2 2026-04-15 Fixed 0.07750000 N N N N N N Unitil Corporation N/A Unitil Corporation 913259107 256.00000000 NS USD 11696.64000000 0.002505609263 Long EC CORP US N 1 N N N Comcast Corporation 51M0QTTNCGUN7KFCFZ59 Comcast Corporation 20030N101 20344.00000000 NS USD 1100813.84000000 0.235812109697 Long EC CORP US N 1 N N N Mattel, Inc. 549300VELLG24KHTJ564 Mattel, Inc. 577081102 5679.00000000 NS USD 113125.68000000 0.024233348357 Long EC CORP US N 1 N N N Lincoln National Corporation EFQMQROEDSNBRIP7LE47 Lincoln National Corporation 534187109 1935.00000000 NS USD 120492.45000000 0.025811429512 Long EC CORP US N 1 N N N Windstream Holdings, Inc. N/A Windstream Services, LLC, Warrants (Expires 12/31/2049) N/A 316.00000000 NC USD 4055.23000000 0.000868695783 N/A DE CORP US N 2 Windstream Holdings, Inc. N/A Call Purchased Windstream Holdings, Inc. Windstream Services, LLC 1.00000000 1.00000000 USD 2049-12-31 XXXX -138956.32000000 N N N Martin Marietta Materials, Inc. 5299005MZ4WZECVATV08 Martin Marietta Materials, Inc. 573284106 1421.00000000 NS USD 477200.22000000 0.102223996953 Long EC CORP US N 1 N N N Boston Scientific Corporation Y6ZDD9FP4P8JSSJMW954 Boston Scientific Corporation 101137AV9 70000.00000000 PA USD 75145.05000000 0.016097283782 Long DBT CORP US N 2 2024-03-01 Fixed 0.03450000 N N N N N N Dell Technologies Inc. N/A Dell International, LLC 24703DBA8 67000.00000000 PA USD 78374.06000000 0.016788989893 Long DBT CORP US N 2 2029-10-01 Fixed 0.05300000 N N N N N N The TJX Companies, Inc. V167QI9I69W364E2DY52 TJX Companies, Inc. 872540AR0 31000.00000000 PA USD 33793.98000000 0.007239216504 Long DBT CORP US N 2 2025-04-15 Fixed 0.03500000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GHQ5 179000.00000000 PA USD 198669.52000000 0.042558220964 Long DBT CORP US N 2 2030-02-07 Variable 0.03974000 N N N N N N Six Flags Entertainment Corporation 549300JYTDUAA4JQ3717 Six Flags Entertainment Corporation 83001AAC6 45000.00000000 PA USD 46631.25000000 0.009989167142 Long DBT CORP US N 2 2027-04-15 Fixed 0.05500000 N N N N N KeyCorp RKPI3RZGV1V1FJTH5T61 KeyCorp 493267108 22383.00000000 NS USD 447212.34000000 0.095800108561 Long EC CORP US N 1 N N N ILLUMINATE BUYER/HLDG N/A Illumina, Inc. 45232TAA9 80000.00000000 PA USD 90024.00000000 0.019284595262 Long DBT CORP US N 2 2028-07-01 Fixed 0.09000000 N N N N N N Public Storage 549300LMZF40TKJ6DM64 Public Storage, 4.875% 74460W628 511.00000000 NS USD 13684.58000000 0.002931458129 Long EP CORP US N 1 N N N Fiserv, Inc. GI7UBEJLXYLGR2C7GV83 Fiserv, Inc. 337738AR9 89000.00000000 PA USD 100287.98000000 0.021483305606 Long DBT CORP US N 2 2028-10-01 Fixed 0.04200000 N N N N N N Meritor, Inc. 5LTG829X630QFHTFBO82 Meritor, Inc., Convertible 59001KAF7 268000.00000000 PA USD 314062.50000000 0.067277261613 Long DBT CORP US N 2 2037-10-15 Fixed 0.03250000 N N N N Y Meritor Inc Meritor Inc USD XXXX N N N Syneos Health, Inc. 549300F1ZGKDS8P6GU13 Syneos Health, Inc. 87166B102 8892.00000000 NS USD 674458.20000000 0.144479843244 Long EC CORP US N 1 N N N Tenneco Inc. 549300U0EXXFAQFAD785 Tenneco, Inc. 880349AR6 50000.00000000 PA USD 47125.00000000 0.010094936369 Long DBT CORP US N 2 2026-07-15 Fixed 0.05000000 N N N N N Amgen Inc. 62QBXGPJ34PQ72Z12S66 Amgen, Inc. 031162100 4052.00000000 NS USD 1008178.12000000 0.215968041815 Long EC CORP US N 1 N N N Brand Industrial Services, Inc. 549300B658W2BPDQMW42 Brand Industrial Services, Inc. 10524PAB6 35000.00000000 PA USD 35273.00000000 0.007556046484 Long DBT CORP US N 2 2025-07-15 Fixed 0.08500000 N N N N N N American Express Company R4PP93JZOLY261QX3811 American Express Company 025816BW8 34000.00000000 PA USD 36391.38000000 0.007795621549 Long DBT CORP US N 2 2023-08-03 Fixed 0.03700000 N N N N N N Sumitomo Mitsui Financial Group, Inc. 35380028MYWPB6AUO129 Sumitomo Mitsui Financial Group, Inc. 86562MBZ2 67000.00000000 PA USD 62808.73000000 0.013454644727 Long DBT CORP JP N 2 2030-09-23 Fixed 0.02142000 N N N N N N Societe Generale Societe anonyme O2RNE8IBXP4R0TD8PU41 Societe Generale SA 83368RAU6 39000.00000000 PA USD 40691.84000000 0.008716849560 Long DBT CORP FR N 2 2024-10-16 Fixed 0.02625000 N N N N N N PayPal Holdings, Inc. 5493005X2GO78EFZ3E94 PayPal Holdings, Inc. 70450YAE3 45000.00000000 PA USD 46882.52000000 0.010042993235 Long DBT CORP US N 2 2029-10-01 Fixed 0.02850000 N N N N N N TPG Capital, L.P. 549300TX61566GJWCN05 Sixth Street Specialty Lending, Inc. 83012A109 1718.00000000 NS USD 36129.54000000 0.007739531190 Long EC CORP US N 1 N N N Regions Financial Corporation CW05CS5KW59QTC0DG824 Regions Financial Corporation 7591EPAR1 84000.00000000 PA USD 92505.00000000 0.019816065546 Long DBT CORP US N 2 2025-06-15 Variable 0.05750000 N N N N N N Thl Credit Wind River 2016-1 Clo Ltd. 635400WBNY8VGBBADK15 THL Credit Wind River CLO, Ltd. 88433AAQ2 350000.00000000 PA USD 346597.30000000 0.074246741418 Long ABS-O CORP KY N 2 2028-07-15 Floating 0.03091300 N N N N N N Air Lease Corporation 5493004NW4M4P8TMMK63 Air Lease Corporation 00914AAH5 24000.00000000 PA USD 25350.80000000 0.005430550937 Long DBT CORP US N 2 2025-07-01 Fixed 0.03375000 N N N N N N Energizer Holdings, Inc. 5493000D6NN0V57UME20 Energizer Holdings, Inc. 29272WAD1 85000.00000000 PA USD 85297.50000000 0.018272102599 Long DBT CORP US N 2 2029-03-31 Fixed 0.04375000 N N N N N N APA Corporation 72ZZ1XRHOOU9P9X16K08 Apache Corporation 037411AW5 60000.00000000 PA USD 58650.00000000 0.012563777571 Long DBT CORP US N 2 2040-09-01 Fixed 0.05100000 N N N N N N GLOBAL MEDICAL RESPONSE 549300ZFWD4ZFCEJCQ87 Global Medical Response, Inc., Term Loan N/A 1755000.00000000 PA USD 1747980.00000000 0.374445557033 Long DBT CORP US N 2 2025-10-02 Floating 0.05750000 N N N N N N Prudential Financial, Inc. 5PRBRS5FEH7NREC8OR45 Prudential Financial, Inc. 744320BH4 42000.00000000 PA USD 42470.40000000 0.009097845848 Long DBT CORP US N 2 2050-10-01 Variable 0.03700000 N N N N N N EastGroup Properties, Inc. 31TIGQQZC4P6JMHKSW85 EastGroup Properties, Inc. 277276101 440.00000000 NS USD 63043.20000000 0.013504871990 Long EC CORP US N 1 N N N Federal National Mortgage Association N/A Federal National Mortgage Association - REMIC 3136AAQ32 440087.57500000 PA USD 23003.95000000 0.004927817750 Long ABS-CBDO USGSE US N 2 2028-01-25 Fixed 0.02500000 N N N N N N American Electric Power Company, Inc. 1B4S6S7G0TW5EE83BO58 American Electric Power Company, Inc. 025537101 1558.00000000 NS USD 131962.60000000 0.028268520958 Long EC CORP US N 1 N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 61747YDU6 66000.00000000 PA USD 70575.77000000 0.015118470183 Long DBT CORP US N 2 2023-05-22 Fixed 0.04100000 N N N N N N Duke Energy Corporation I1BZKREC126H0VB1BL91 Duke Energy Corporation 26441CBG9 22000.00000000 PA USD 23243.00000000 0.004979026122 Long DBT CORP US N 2 2024-09-16 Variable 0.04875000 N N N N N N The Boeing Company RVHJWBXLJ1RFUBSY1F30 Boeing Company 097023CZ6 35000.00000000 PA USD 35860.30000000 0.007681855632 Long DBT CORP US N 2 2024-02-01 Fixed 0.01950000 N N N N N N Ovintiv Inc. N/A Encana Corporation 292505AE4 40000.00000000 PA USD 48102.46000000 0.010304324093 Long DBT CORP CA N 2 2037-08-15 Fixed 0.06625000 N N N N N N Kimberly-Clark Corporation MP3J6QPYPGN75NVW2S34 Kimberly-Clark Corporation 494368103 1813.00000000 NS USD 252097.65000000 0.054003389616 Long EC CORP US N 1 N N N Ares Management Corporation WEQ82666OJYSI5GUAB47 Ares Capital Corporation 04010L103 2392.00000000 NS USD 44754.32000000 0.009587098411 Long EC CORP US N 1 N N N Broadcom Inc. N/A Broadcom Corporation 11134LAH2 67000.00000000 PA USD 72755.64000000 0.015585433555 Long DBT CORP US N 2 2027-01-15 Fixed 0.03875000 N N N N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280BT5 126000.00000000 PA USD 141598.47000000 0.030332679993 Long DBT CORP GB N 2 2029-06-19 Variable 0.04583000 N N N N N N Moody's Corporation 549300GCEDD8YCF5WU84 Moody's Corporation 615369105 626.00000000 NS USD 186929.86000000 0.040043396122 Long EC CORP US N 1 N N N Madison Park Funding XIV, Ltd. 254900Q2IOW6JYPYIV98 Madison Park Funding XIV, Ltd. 55818RAY2 500000.00000000 PA USD 500022.50000000 0.107112898054 Long ABS-O CORP KY N 2 2030-10-22 Floating 0.01622400 N N N N N N Aptiv PLC N/A Aptiv plc G6095L109 9901.00000000 NS USD 1365347.90000000 0.292479579262 Long EC CORP JE N 1 N N N Merck & Co., Inc. 4YV9Y5M8S0BRK1RP0397 Merck & Company, Inc. 58933Y105 12116.00000000 NS USD 934022.44000000 0.200082697071 Long EC CORP US N 1 N N N Huntsman Corporation N/A Venator Finance SARL 9226APAA3 70000.00000000 PA USD 67900.00000000 0.014545277018 Long DBT CORP XX N 2 2025-07-15 Fixed 0.05750000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GHC6 55000.00000000 PA USD 57202.47000000 0.012253693258 Long DBT CORP US N 2 2023-12-20 Variable 0.03004000 N N N N N N The Timken Company B0I35MLPFXZSE70ASS73 Timken Company 887389104 5697.00000000 NS USD 462425.49000000 0.099059011081 Long EC CORP US N 1 N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 30-Yr. Pass Through 31418CYM0 473875.91000000 PA USD 508621.00000000 0.108954835675 Long ABS-MBS USGSE US N 2 2048-07-01 Fixed 0.04000000 N N N N N N Reata Pharmaceuticals, Inc. 5299005F094GH9QDDD80 Reata Pharmaceuticals, Inc. 75615P103 527.00000000 NS USD 52541.90000000 0.011255323867 Long EC CORP US N 1 N N N Credit Suisse Group AG 549300506SI9CRFV9Z86 Credit Suisse Group AG 22546DAB2 22000.00000000 PA USD 23811.22000000 0.005100748027 Long DBT CORP CH N 2 2023-12-11 Variable 0.07500000 N N N N N N Euronet Worldwide, Inc. YG3575C4DSHJPA5KET68 Euronet Worldwide, Inc. 298736109 173.00000000 NS USD 23925.90000000 0.005125314335 Long EC CORP US N 1 N N N Target Corporation 8WDDFXB5T1Z6J0XC1L66 Target Corporation 87612EBJ4 45000.00000000 PA USD 45622.89000000 0.009773160138 Long DBT CORP US N 2 2030-02-15 Fixed 0.02350000 N N N N N N Zimmer Biomet Holdings, Inc. 2P2YLDVPES3BXQ1FRB91 Zimmer Biomet Holdings, Inc. 98956P102 1143.00000000 NS USD 182971.44000000 0.039195438604 Long EC CORP US N 1 N N N W.W. Grainger, Inc. 549300TWZSP6O1IH2V34 WW Grainger, Inc. 384802AE4 30000.00000000 PA USD 30913.71000000 0.006622216135 Long DBT CORP US N 2 2025-02-15 Fixed 0.01850000 N N N N N N Camden Property Trust 5493002MYX22OHYJBD89 Camden Property Trust 133131102 2942.00000000 NS USD 323355.22000000 0.069267912374 Long EC CORP US N 1 N N N Otis Worldwide Corporation 549300ZLBKR8VSU25153 Otis Worldwide Corporation 68902VAH0 47000.00000000 PA USD 48393.41000000 0.010366650284 Long DBT CORP US N 2 2025-04-05 Fixed 0.02056000 N N N N N N Core Laboratories N.V. 724500MDYY5VBSAF5W50 Core Laboratories NV N22717107 980.00000000 NS USD 28214.20000000 0.006043937479 Long EC CORP NL N 1 N N N Lennar Corporation 529900G61XVRLX5TJX09 Lennar Corporation 526057BV5 34000.00000000 PA USD 37867.50000000 0.008111830301 Long DBT CORP US N 2 2025-05-30 Fixed 0.04750000 N N N N N N The Southern Company 549300FC3G3YU2FBZD92 Southern Company 842587DF1 119000.00000000 PA USD 125574.75000000 0.026900140283 Long DBT CORP US N 2 2051-01-15 Variable 0.04000000 N N N N N N Suburban Propane Partners, L.P. N/A Suburban Propane Partners, LP 864486AK1 90000.00000000 PA USD 93600.00000000 0.020050632237 Long DBT CORP US N 2 2027-03-01 Fixed 0.05875000 N N N N N N Kilroy Realty Corporation 5493008CT3N3JR7P1552 Kilroy Realty, LP 49427RAL6 39000.00000000 PA USD 42876.28000000 0.009184791901 Long DBT CORP US N 2 2025-10-01 Fixed 0.04375000 N N N N N N Federal Home Loan Banks Office of Finance 2549001DPIFGXC1TOL40 Federal Home Loan Bank Discount Notes 313385EA0 300000.00000000 PA USD 300000.00000000 0.064264846914 Long STIV USGSE US N 2 N N N Business Jet Securities 2020-1 LLC N/A Business Jet Securities, LLC 12327FAA5 110075.22000000 PA USD 111426.94000000 0.023869450804 Long ABS-CBDO CORP US N 2 2035-11-15 Fixed 0.02981000 N N N N N N Cumulus Media Inc. 5493001D9VBAVY1OKJ46 Cumulus Media New Holdings, Inc. 23110AAA4 60000.00000000 PA USD 61125.00000000 0.013093962558 Long DBT CORP US N 2 2026-07-01 Fixed 0.06750000 N N N N N N Community Trust Bancorp, Inc. N/A Community Trust Bancorp, Inc. 204149108 1132.00000000 NS USD 49841.96000000 0.010676953097 Long EC CORP US N 1 N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie, Inc. 00287YCU1 35000.00000000 PA USD 36290.82000000 0.007774079972 Long DBT CORP US N 2 2023-03-15 Fixed 0.02800000 N N N N N N EQT Corporation 4NT01YGM4X7ZX86ISY52 EQT Corporation 26884LAF6 95000.00000000 PA USD 96900.00000000 0.020757545553 Long DBT CORP US N 2 2027-10-01 Fixed 0.03900000 N N N N N N Ovintiv Inc. T8W3X1PFLPW2YE0UIP44 Newfield Exploration Company 651290AQ1 97000.00000000 PA USD 106634.57000000 0.022842847722 Long DBT CORP US N 2 2024-07-01 Fixed 0.05625000 N N N N N N American Express Company R4PP93JZOLY261QX3811 American Express Company 025816CC1 35000.00000000 PA USD 37665.66000000 0.008068592912 Long DBT CORP US N 2 2024-02-22 Fixed 0.03400000 N N N N N N Kansas City Southern 5493008C12PZMWP3WY03 Kansas City Southern 485170302 1842.00000000 NS USD 486140.64000000 0.104139179362 Long EC CORP US N 1 N N N Lumen Technologies, Inc. N/A Level 3 Financing, Inc. 527298BN2 90000.00000000 PA USD 92625.30000000 0.019841835749 Long DBT CORP US N 2 2027-09-15 Fixed 0.04625000 N N N N N N Stoneridge, Inc. PNBCIH9LE7WI83VJIF08 Stoneridge, Inc. 86183P102 7743.00000000 NS USD 246304.83000000 0.052762473981 Long EC CORP US N 1 N N N Antero Midstream Corporation N/A Antero Midstream Partners, LP 03690AAD8 40000.00000000 PA USD 40008.80000000 0.008570531357 Long DBT CORP US N 2 2027-03-01 Fixed 0.05750000 N N N N N N Ares LVII CLO Ltd. N/A Ares LVII CLO, Ltd. 04017NAL6 225000.00000000 PA USD 226388.70000000 0.048496117162 Long ABS-O CORP KY N 2 2031-10-25 Floating 0.04593990 N N N N N N Invesco Ltd. UJGJ6DJQ6L11ZHIVZG65 Invesco Dynamic Credit Opportunities Fund 46132R104 5503.00000000 NS USD 62569.11000000 0.013403314252 Long RF US N 1 N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corporation 674599CS2 80000.00000000 PA USD 75064.00000000 0.016079921562 Long DBT CORP US N 2 2029-08-15 Fixed 0.03500000 N N N N N N The Home Depot, Inc. QEKMOTMBBKA8I816DO57 Home Depot, Inc. 437076BC5 31000.00000000 PA USD 33653.31000000 0.007209082717 Long DBT CORP US N 2 2024-02-15 Fixed 0.03750000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46625HJQ4 84000.00000000 PA USD 91980.00000000 0.019703602064 Long DBT CORP US N 2 2024-02-01 Variable 0.06750000 N N N N N N EnLink Midstream, LLC 88CPW63VL7KHJWS0NY83 EnLink Midstream Partners, LP 29336UAC1 45000.00000000 PA USD 37350.00000000 0.008000973440 Long DBT CORP US N 2 2044-04-01 Fixed 0.05600000 N N N N N N Graham Holdings Company 529900BOSCEEEMAFQJ29 Graham Holdings Company 384637104 25.00000000 NS USD 14061.00000000 0.003012093374 Long EC CORP US N 1 N N N Heartland Financial USA, Inc. 549300QF7B0DFZT32C73 Heartland Financial USA, Inc. 42234Q102 10071.00000000 NS USD 506168.46000000 0.108429461983 Long EC CORP US N 1 N N N Haemonetics Corporation 549300ZEL6TXZS6F5F95 Haemonetics Corporation 405024100 797.00000000 NS USD 88474.97000000 0.018952768009 Long EC CORP US N 1 N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Bonds 91282CBL4 715000.00000000 PA USD 675563.28000000 0.144716569234 Long DBT UST US N 2 2031-02-15 Fixed 0.01125000 N N N N N N IHEARTCOMMUNICATIONS INC 54930076J6KDZL504O62 iHeartCommunications, Inc., Term Loan N/A 400939.84000000 PA USD 395739.65000000 0.084773826751 Long DBT CORP US N 2 2026-05-01 Floating 0.03108500 N N N N N N The Procter & Gamble Company 2572IBTT8CCZW6AU4141 Procter & Gamble Company 742718109 2740.00000000 NS USD 371078.20000000 0.079490945721 Long EC CORP US N 1 N N N Thrivent Mutual Funds N/A Thrivent Core International Equity Fund N/A 3773317.53700000 NS USD 38336906.18000000 8.212384689476 Long RF US N 2 N N N BlackRock, Inc. U48QD6ILUF60LKMSND68 BlackRock Enhanced Global Dividend Trust 092501105 7409.00000000 NS USD 85129.41000000 0.018236095005 Long RF US N 1 N N N HARBOR FREIGHT TOOLS 549300Y48HLCFTTB4249 Harbor Freight Tools USA, Inc., Term Loan N/A 673312.50000000 PA USD 672087.07000000 0.143971908889 Long DBT CORP US N 2 2027-10-19 Floating 0.03750000 N N N N N N Stanley Black & Decker, Inc. 549300DJ09SMTO561131 Stanley Black & Decker, Inc., Convertible, 5.250% 854502846 1957.00000000 NS USD 230886.86000000 0.049459695708 Long EP CORP US N 1 N N N Cedar Fair, L.P. 549300TUVLNQQ6BVKH61 Cedar Fair, LP 150190AE6 90000.00000000 PA USD 92510.10000000 0.019817158048 Long DBT CORP US N 2 2029-07-15 Fixed 0.05250000 N N N N N N AVIS BUDGET CAR/FINANCE N/A Avis Budget Car Rental, LLC 053773BF3 60000.00000000 PA USD 62065.50000000 0.013295432853 Long DBT CORP US N 2 2029-03-01 Fixed 0.05375000 N N N N N N CNT HOLDINGS I CORP N/A CNT Holdings I Corporation, Term Loan N/A 350000.00000000 PA USD 349016.50000000 0.074764973144 Long DBT CORP US N 2 2027-11-08 Floating 0.04500000 N N N N N N Standard Chartered PLC U4LOSYZ7YG4W3S5F2G91 Standard Chartered plc 853254BY5 41000.00000000 PA USD 40768.27000000 0.008733222101 Long DBT CORP GB N 2 2025-01-12 Variable 0.00991000 N N N N N N Woodward, Inc. YPYKXXTR8TFDH54ZMB45 Woodward, Inc. 980745103 280.00000000 NS USD 33776.40000000 0.007235450584 Long EC CORP US N 1 N N N Endeavor Energy Resources, LP N/A Endeavor Energy Resources, LP 29260FAE0 60000.00000000 PA USD 63379.20000000 0.013576848618 Long DBT CORP US N 2 2028-01-30 Fixed 0.05750000 N N N N N N Entercom Communications Corp. 549300S5JUSXRHNCHD80 Entercom Media Corporation 29365DAA7 60000.00000000 PA USD 62025.00000000 0.013286757099 Long DBT CORP US N 2 2027-05-01 Fixed 0.06500000 N N N N N N PPL Corporation 549300MROK5WY0D2NU17 PPL Capital Funding, Inc. 69352PAK9 47000.00000000 PA USD 50748.23000000 0.010871090773 Long DBT CORP US N 2 2024-03-15 Fixed 0.03950000 N N N N N N Mitsubishi UFJ Financial Group, Inc. 353800V2V8PUY9TK3E06 Mitsubishi UFJ Financial Group, Inc. 606822BH6 67000.00000000 PA USD 72754.16000000 0.015585116516 Long DBT CORP JP N 2 2029-03-07 Fixed 0.03741000 N N N N N N Plug Power Inc. 549300JPDKRSJ8JSM954 Plug Power, Inc. 72919P202 1617.00000000 NS USD 57953.28000000 0.012414528891 Long EC CORP US N 1 N N N Calix, Inc. 5299002RQRZ4SXSCSJ58 Calix, Inc. 13100M509 6667.00000000 NS USD 231078.22000000 0.049500688112 Long EC CORP US N 1 N N N BERKSHIRE HATHAWAY ENERGY 549300JD0S5IZJE9LY15 Berkshire Hathaway Energy Company 084659AT8 64000.00000000 PA USD 70617.04000000 0.015127310883 Long DBT CORP US N 2 2025-04-15 Fixed 0.04050000 N N N N N N Barclays PLC 213800LBQA1Y9L22JB70 Barclays plc 06738EBB0 81000.00000000 PA USD 86733.31000000 0.018579676298 Long DBT CORP GB N 2 2024-05-16 Variable 0.04338000 N N N N N N Vaxart, Inc. N/A Vaxart, Inc. 92243A200 12690.00000000 NS USD 76774.50000000 0.016446338298 Long EC CORP US N 1 N N IndyMac Bank MBS, Inc. N/A IndyMac INDX Mortgage Loan Trust 45661EAB0 438727.25200000 PA USD 415273.51000000 0.088958295159 Long ABS-CBDO CORP US N 2 2046-04-25 Floating 0.00528600 N N N N N N Philip Morris International Inc. HL3H1H2BGXWVG3BSWR90 Philip Morris International, Inc. 718172CN7 97000.00000000 PA USD 98319.11000000 0.021061541843 Long DBT CORP US N 2 2025-05-01 Fixed 0.01500000 N N N N N N Ralph Lauren Corporation HO1QNWM0IXBZ0QSMMO20 Ralph Lauren Corporation 731572AA1 34000.00000000 PA USD 34539.28000000 0.007398871805 Long DBT CORP US N 2 2022-06-15 Fixed 0.01700000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 J.P. Morgan Chase & Company 46625HJY7 70000.00000000 PA USD 76741.21000000 0.016439207042 Long DBT CORP US N 2 2024-09-10 Fixed 0.03875000 N N N N N N INTERMEDIATE DUTCH HOLDINGS N/A Intermediate Dutch Holdings, Term Loan N/A 305000.00000000 PA USD 303627.50000000 0.065041916022 Long DBT CORP US N 2 2028-03-05 Floating 0.00000000 N N N N N N T. Rowe Price Group, Inc. 549300SIV6FPS9Y7IH33 T. Rowe Price Group, Inc. 74144T108 522.00000000 NS USD 89575.20000000 0.019188455051 Long EC CORP US N 1 N N N Nine Energy Service, Inc. 549300KRLJCZBPZMKT65 Nine Energy Service, Inc. 65441V101 8636.00000000 NS USD 19862.80000000 0.004254932670 Long EC CORP US N 1 N N N TransDigm Group Incorporated 88Q84GB3X55CF5OC7582 TransDigm, Inc., Term Loan N/A 1214625.00000000 PA USD 1188304.08000000 0.254553932631 Long DBT CORP US N 2 2025-12-09 Floating 0.02358500 N N N N N N Albertsons Investor Holdings LLC N/A Albertson's Companies, Inc. 013092AE1 50000.00000000 PA USD 51400.00000000 0.011010710438 Long DBT CORP US N 2 2030-02-15 Fixed 0.04875000 N N N N N N F&P Holdings, Inc. N/A CANPACK SA 13805AAA5 90000.00000000 PA USD 91350.00000000 0.019568645885 Long DBT CORP PL N 2 2025-11-01 Fixed 0.03125000 N N N N N N The Boeing Company RVHJWBXLJ1RFUBSY1F30 Boeing Company 097023CT0 79000.00000000 PA USD 87962.39000000 0.018842965092 Long DBT CORP US N 2 2025-05-01 Fixed 0.04875000 N N N N N N SeaWorld Parks & Entertainment, Inc. 549300UZV72O3371JJ53 SeaWorld Parks and Entertainment, Inc. 81282UAE2 50000.00000000 PA USD 54341.25000000 0.011640773708 Long DBT CORP US N 2 2025-08-01 Fixed 0.09500000 N N N N N N FirstEnergy Corp. 549300SVYJS666PQJH88 FirstEnergy Corporation 337932AG2 66000.00000000 PA USD 66990.00000000 0.014350340316 Long DBT CORP US N 2 2022-07-15 Fixed 0.02850000 N N N N N N Brixmor Property Group Inc. 549300CJHBL7JBUA6503 Brixmor Operating Partnership, LP 11120VAK9 45000.00000000 PA USD 44154.67000000 0.009458643693 Long DBT CORP US N 2 2028-04-01 Fixed 0.02250000 N N N N N N F.N.B. Corporation PCYSKIGYNYFDTBLVZU83 FNB Corporation 30260NAA9 64000.00000000 PA USD 65248.91000000 0.013977370708 Long DBT CORP US N 2 2023-02-24 Fixed 0.02200000 N N N N N N Mizuho Financial Group, Inc. 353800CI5L6DDAN5XZ33 Mizuho Financial Group, Inc. 60687YAX7 67000.00000000 PA USD 70046.78000000 0.015005151978 Long DBT CORP JP N 2 2030-07-16 Variable 0.03153000 N N N N N N Wells Fargo & Company N/A Wachovia Asset Securitization, Inc. 92976YAA0 199913.91500000 PA USD 186810.58000000 0.040017844419 Long ABS-CBDO CORP US N 2 2037-07-25 Floating 0.00257600 N N N N N N Gilead Sciences, Inc. 549300WTZWR07K8MNV44 Gilead Sciences, Inc. 375558BM4 67000.00000000 PA USD 71234.22000000 0.015259520811 Long DBT CORP US N 2 2027-03-01 Fixed 0.02950000 N N N N N N T-Mobile US, Inc. 549300ZTTY7CXOLJ6539 Sprint Corporation 85207UAJ4 230000.00000000 PA USD 274275.00000000 0.058754136291 Long DBT CORP US N 2 2025-02-15 Fixed 0.07625000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation, Convertible, 7.250% 060505682 72.00000000 NS USD 100656.00000000 0.021562141436 Long EP CORP US N 1 N N N Talen Energy Corporation K5K33XN0PQAU1XF7NN66 Talen Energy Supply, LLC, Term Loan N/A 247225.00000000 PA USD 239808.25000000 0.051370801583 Long DBT CORP US N 2 2026-07-08 Floating 0.03858500 N N N N N N RCO V Mortgage LLC 2019-2 N/A RCO Mortgage, LLC 74937DAA2 178751.76000000 PA USD 179759.01000000 0.038507284197 Long ABS-CBDO CORP US N 2 2024-11-25 Variable 0.03474800 N N N N N N PDC Energy, Inc. 5493008W8H2T511J5Y59 PDC Energy, Inc. 69327R101 1846.00000000 NS USD 63502.40000000 0.013603240049 Long EC CORP US N 1 N N N Altria Group, Inc. XSGZFLO9YTNO9VCQV219 Altria Group, Inc. 02209SBC6 55000.00000000 PA USD 62020.64000000 0.013285823117 Long DBT CORP US N 2 2026-02-14 Fixed 0.04400000 N N N N N N Teva Pharmaceutical Industries Limited 5493004T21MOAFINJP35 Teva Pharmaceutical Finance Netherlands III BV 88167AAD3 125000.00000000 PA USD 124443.75000000 0.026657861810 Long DBT CORP NL N 2 2023-07-21 Fixed 0.02800000 N N N N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280CJ6 41000.00000000 PA USD 41025.15000000 0.008788249948 Long DBT CORP GB N 2 2026-04-18 Variable 0.01645000 N N N N N N Hindalco Industries Limited 549300G5F3W3B52WYL23 Novelis Corporation 670001AE6 40000.00000000 PA USD 41228.00000000 0.008831703695 Long DBT CORP US N 2 2030-01-30 Fixed 0.04750000 N N N N N N Bausch Health Companies Inc. B3BS7ACMDUWISF18KY76 VRX Escrow Corporation 91831AAC5 250000.00000000 PA USD 256300.00000000 0.054903600880 Long DBT CORP US N 2 2025-04-15 Fixed 0.06125000 N N N N N N Fortress Transportation and Infrastructure Investors LLC 529900E7PUVK6BC8PE80 Fortress Transportation 34960PAB7 50000.00000000 PA USD 52250.00000000 0.011192794170 Long DBT CORP US N 2 2025-10-01 Fixed 0.06500000 N N N N N N Vine Energy Holdings LLC 254900PNIMG4CPJH6R25 Vine Energy Holdings, LLC 92735LAA0 45000.00000000 PA USD 45000.00000000 0.009639727037 Long DBT CORP US N 2 2029-04-15 Fixed 0.06750000 N N N N N N Raymond James Financial, Inc. RGUZHJ05YTITL6D76949 Raymond James Financial, Inc. 754730109 4251.00000000 NS USD 521002.56000000 0.111607165868 Long EC CORP US N 1 N N N T-Mobile US, Inc. 549300L17W0GQBR1PO80 Sprint Capital Corporation 852060AT9 75000.00000000 PA USD 110906.25000000 0.023757910593 Long DBT CORP US N 2 2032-03-15 Fixed 0.08750000 N N N N N N VISTA OUTDOOR INC 549300QI2D33ESTJLN81 Vista Outdoor, Inc. 928377AC4 80000.00000000 PA USD 79156.40000000 0.016956579761 Long DBT CORP US N 2 2029-03-15 Fixed 0.04500000 N N N N N N Chobani Global Holdings, Inc. N/A Chobani, LLC 17027NAB8 100000.00000000 PA USD 102000.00000000 0.021850047951 Long DBT CORP US N 2 2028-11-15 Fixed 0.04625000 N N N N N N Syneos Health, Inc. 549300F1ZGKDS8P6GU13 Syneos Health, Inc. 87166BAA0 80000.00000000 PA USD 77800.00000000 0.016666016966 Long DBT CORP US N 2 2029-01-15 Fixed 0.03625000 N N N N N N Qorvo, Inc. 254900YAUJV2EUEVBR11 Qorvo, Inc. 74736KAJ0 70000.00000000 PA USD 68592.30000000 0.014693578863 Long DBT CORP US N 2 2031-04-01 Fixed 0.03375000 N N N N N N BWAY Parent Company, Inc. 549300DNGHXL0OMHW304 BWAY Holding Company 12429TAE4 70000.00000000 PA USD 70000.00000000 0.014995130946 Long DBT CORP US N 2 2025-04-15 Fixed 0.07250000 N N N N N N Range Resources Corporation H3Y3WLYCX0BTO1TRW162 Range Resources Corporation 75281ABH1 40000.00000000 PA USD 42800.00000000 0.009168451493 Long DBT CORP US N 2 2029-01-15 Fixed 0.08250000 N N N N N N Fox Corporation 549300DDU6FDRBIELS05 Fox Corporation 35137LAH8 45000.00000000 PA USD 51798.16000000 0.011096002742 Long DBT CORP US N 2 2029-01-25 Fixed 0.04709000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967GD7 168000.00000000 PA USD 176253.94000000 0.037756441574 Long DBT CORP US N 2 2023-01-30 Variable 0.05950000 N N N N N N Willis Towers Watson Public Limited Company 5493004KVU1HWZCP0C66 Willis North America, Inc. 970648AG6 90000.00000000 PA USD 102348.62000000 0.021924727987 Long DBT CORP US N 2 2028-09-15 Fixed 0.04500000 N N N N N N Liberty Media Corporation WP5O65E6BMU84LNO4227 Sirius XM Radio, Inc. 82967NBG2 35000.00000000 PA USD 35040.25000000 0.007506187673 Long DBT CORP US N 2 2030-07-01 Fixed 0.04125000 N N N N N N Lincoln National Corporation EFQMQROEDSNBRIP7LE47 Lincoln National Corporation 534187AS8 50000.00000000 PA USD 42869.00000000 0.009183232407 Long DBT CORP US N 2 2066-05-17 Floating 0.02549000 N N N N N N AutoZone, Inc. GA3JGKJ41LJKXDN23E90 AutoZone, Inc. 053332102 298.00000000 NS USD 418481.40000000 0.089645477025 Long EC CORP US N 1 N N N Iron Mountain Incorporated SQL3F6CKNNBM3SQGHX24 Iron Mountain, Inc. 46284VAG6 120000.00000000 PA USD 122700.00000000 0.026284322388 Long DBT CORP US N 2 2028-07-15 Fixed 0.05000000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation 06051GGR4 134000.00000000 PA USD 145430.16000000 0.031153489897 Long DBT CORP US N 2 2028-07-21 Variable 0.03593000 N N N N N N TerraForm Power, Inc. 5493000S2OLR3UT5BE13 TerraForm Power Operating, LLC 88104LAE3 90000.00000000 PA USD 97114.50000000 0.020803494919 Long DBT CORP US N 2 2028-01-31 Fixed 0.05000000 N N N N N N Penske Truck Leasing Co., L.P. N/A Penske Truck Leasing Company, LP 709599BL7 35000.00000000 PA USD 34379.73000000 0.007364693618 Long DBT CORP US N 2 2025-11-15 Fixed 0.01200000 N N N N N N Micron Technology, Inc. B3DXGBC8GAIYWI2Z0172 Micron Technology, Inc. 595112103 4949.00000000 NS USD 436551.29000000 0.093516339407 Long EC CORP US N 1 N N N CVS Health Corporation 549300EJG376EN5NQE29 CVS Health Corporation 126650BZ2 44000.00000000 PA USD 45442.23000000 0.009734459848 Long DBT CORP US N 2 2022-12-01 Fixed 0.02750000 N N N N N N Apple Inc. HWUPKR0MPOU8FGXBT394 Apple, Inc. 037833DP2 134000.00000000 PA USD 135778.06000000 0.029085854134 Long DBT CORP US N 2 2029-09-11 Fixed 0.02200000 N N N N N N Allegion plc N/A Allegion plc G0176J109 834.00000000 NS USD 104767.08000000 0.022442801193 Long EC CORP IE N 1 N N N Chart Industries, Inc. EM7QGKC1GYOF3LSZSL80 Chart Industries, Inc. 16115Q308 1378.00000000 NS USD 196158.30000000 0.042020277068 Long EC CORP US N 1 N N N Lennar Corporation 529900G61XVRLX5TJX09 Lennar Corporation 526057CR3 14000.00000000 PA USD 15890.00000000 0.003403894724 Long DBT CORP US N 2 2024-11-15 Fixed 0.05875000 N N N N N N PRIME SECURITY SERVICES BORROWER 549300O6QPZVWXV2DC15 Prime Security Services Borrower, LLC, Term Loan N/A 1475000.00000000 PA USD 1468082.25000000 0.314486936848 Long DBT CORP US N 2 2026-09-23 Floating 0.03500000 N N N N N N Nexstar Media Group, Inc. 5493006PK6I4I2OOT688 Nexstar Escrow Corporation 65343HAA9 100000.00000000 PA USD 104812.00000000 0.022452423782 Long DBT CORP US N 2 2027-07-15 Fixed 0.05625000 N N N N N N Digital Realty Trust, Inc. 549300HKCZ31D08NEI41 Digital Realty Trust, Inc. 253868103 1951.00000000 NS USD 274778.84000000 0.058862066960 Long EC CORP US N 1 N N N The Kraft Heinz Company 5493003STKEZ2S0RNU91 H. J. Heinz Company 50077LAM8 30000.00000000 PA USD 34696.66000000 0.007432585144 Long DBT CORP US N 2 2045-07-15 Fixed 0.05200000 N N N N N N Bridgewater Bancshares, Inc. 5493001FLSBTVILKXZ71 Bridgewater Bancshares, Inc. 108621103 13989.00000000 NS USD 225922.35000000 0.048396217457 Long EC CORP US N 1 N N N First Horizon Corporation TF3RXI1ZB1TQ30H9JV10 First Horizon National Corporation 320517AC9 41000.00000000 PA USD 43340.46000000 0.009284226757 Long DBT CORP US N 2 2023-05-26 Fixed 0.03550000 N N N N N N Imperial Brands PLC 2138008L3B3MCG1DFS50 Imperial Brands Finance plc 45262BAA1 34000.00000000 PA USD 35931.16000000 0.007697034989 Long DBT CORP GB N 2 2024-07-26 Fixed 0.03125000 N N N N N N VeriSign, Inc. LMPL4N8ZOJRMF0KOF759 VeriSign, Inc. 92343EAL6 60000.00000000 PA USD 63675.00000000 0.013640213757 Long DBT CORP US N 2 2027-07-15 Fixed 0.04750000 N N N N N N Panther BF Aggregator 2 LP N/A Clarios Global, LP 69867DAC2 35000.00000000 PA USD 37668.75000000 0.008069254840 Long DBT CORP XX N 2 2027-05-15 Fixed 0.08500000 N N N N N N Otis Worldwide Corporation 549300ZLBKR8VSU25153 Otis Worldwide Corporation 68902V107 2819.00000000 NS USD 192960.55000000 0.041335267354 Long EC CORP US N 1 N N N Diamondback Energy, Inc. 549300R22LSX6OHWEN64 Diamondback Energy, Inc. 25278XAL3 34000.00000000 PA USD 35854.35000000 0.007680581046 Long DBT CORP US N 2 2024-12-01 Fixed 0.02875000 N N N N N N Ross Stores, Inc. 549300ENZFLPGRDFZQ60 Ross Stores, Inc. 778296103 2242.00000000 NS USD 268838.22000000 0.057589490177 Long EC CORP US N 1 N N N Bohai Leasing Co., Ltd. 635400CPI3EOIFF6OC33 Park Aerospace Holdings, Ltd. 70014LAC4 17000.00000000 PA USD 17754.45000000 0.003803290037 Long DBT CORP KY N 2 2023-03-15 Fixed 0.04500000 N N N N N N Capital One Financial Corporation ZUE8T73ROZOF6FLBAR73 Capital One Financial Corporation, 5.000% 14040H824 5525.00000000 NS USD 142268.75000000 0.030476264798 Long EP CORP US N 1 N N N Novartis AG 5493002KF87V5RSRQS84 Novartis Capital Corporation 66989HAJ7 117000.00000000 PA USD 126304.09000000 0.027056376695 Long DBT CORP US N 2 2025-11-20 Fixed 0.03000000 N N N N N N Meritor, Inc. 5LTG829X630QFHTFBO82 Meritor, Inc. 59001K100 14734.00000000 NS USD 433474.28000000 0.092857194152 Long EC CORP US N 1 N N N Air Lease Corporation 5493004NW4M4P8TMMK63 Air Lease Corporation 00912XBJ2 64000.00000000 PA USD 63200.00000000 0.013538461083 Long DBT CORP US N 2 2026-06-15 Variable 0.04650000 N N N N N N Ford Motor Company 20S05OYHG0MQM4VUIC57 Ford Motor Company 345370CW8 40000.00000000 PA USD 48444.60000000 0.010377616009 Long DBT CORP US N 2 2025-04-22 Fixed 0.09000000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967424 12866.00000000 NS USD 936001.50000000 0.200506643698 Long EC CORP US N 1 N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967MU2 84000.00000000 PA USD 84819.00000000 0.018169600168 Long DBT CORP US N 2 2025-12-10 Variable 0.04000000 N N N N N N V.F. Corporation CWAJJ9DJ5Z7P057HV541 VF Corporation 918204AZ1 35000.00000000 PA USD 35573.45000000 0.007620407728 Long DBT CORP US N 2 2022-04-23 Fixed 0.02050000 N N N N N N InMode Ltd. N/A InMode, Ltd. M5425M103 3450.00000000 NS USD 249676.50000000 0.053484740169 Long EC CORP IL N 1 N N N Biogen Inc. W8J5WZB5IY3K0NDQT671 Biogen, Inc. 09062X103 1157.00000000 NS USD 323670.75000000 0.069335503998 Long EC CORP US N 1 N N N The Boeing Company RVHJWBXLJ1RFUBSY1F30 Boeing Company 097023BX2 67000.00000000 PA USD 68553.06000000 0.014685173021 Long DBT CORP US N 2 2028-03-01 Fixed 0.03250000 N N N N N N Textron Inc. 3PPKBHUG1HD6BO7RNR87 Textron, Inc. 883203BX8 67000.00000000 PA USD 72153.03000000 0.015456344757 Long DBT CORP US N 2 2027-03-15 Fixed 0.03650000 N N N N N N CP ATLAS BUYER INC 2549006ZZ07G0NDDCR36 CP Atlas Buyer, Inc. 12597YAA7 60000.00000000 PA USD 63063.00000000 0.013509113469 Long DBT CORP US N 2 2028-12-01 Fixed 0.07000000 N N N N N N British American Tobacco p.l.c. 21380041YBGOQDFAC823 BAT International Finance plc 05530QAN0 35000.00000000 PA USD 34642.22000000 0.007420923216 Long DBT CORP GB N 2 2026-03-25 Fixed 0.01668000 N N N N N N NVIDIA Corporation 549300S4KLFTLO7GSQ80 NVIDIA Corporation 67066G104 2462.00000000 NS USD 1314535.66000000 0.281594776512 Long EC CORP US N 1 N N N Capital One Financial Corporation ZUE8T73ROZOF6FLBAR73 Capital One Financial Corporation 14040H105 6561.00000000 NS USD 834756.03000000 0.178818228263 Long EC CORP US N 1 N N N Synovus Financial Corp. 549300EIUS8UN5JTLE54 Synovus Financial Corporation 87161C501 6215.00000000 NS USD 284336.25000000 0.060909418595 Long EC CORP US N 1 N N N Duke Realty Corporation 254900E47KH1NFFKNF25 Duke Realty Corporation 264411505 6395.00000000 NS USD 268142.35000000 0.057440423580 Long EC CORP US N 1 N N N College Avenue Student Loans 2017-A Llc N/A College Ave Student Loans, LLC 194204AA1 162766.85000000 PA USD 165824.90000000 0.035522372710 Long ABS-O CORP US N 2 2046-11-26 Floating 0.01758630 N N N N N N The Southern Company D981X4Z4RWS7PDMJUZ03 Georgia Power Company 373334KM2 32000.00000000 PA USD 33030.00000000 0.007075559645 Long DBT CORP US N 2 2023-07-30 Fixed 0.02100000 N N N N N N Jack Henry & Associates, Inc. 529900X1QS8C54W0JB21 Jack Henry & Associates, Inc. 426281101 347.00000000 NS USD 52646.84000000 0.011277803710 Long EC CORP US N 1 N N N Sunstone Hotel Investors, Inc. 529900ZQ2V52V96ATF67 Sunstone Hotel Investors, Inc. 867892101 23370.00000000 NS USD 291190.20000000 0.062377645420 Long EC CORP US N 1 N N N Lennar Corporation 529900G61XVRLX5TJX09 Lennar Corporation 526057BW3 48000.00000000 PA USD 52431.84000000 0.011231747236 Long DBT CORP US N 2 2023-12-15 Fixed 0.04875000 N N N N N N KeyCorp HUX2X73FUCYHUVH1BK78 KeyBank NA 49327V2B9 67000.00000000 PA USD 73213.44000000 0.015683501712 Long DBT CORP US N 2 2029-04-13 Fixed 0.03900000 N N N N N N KBR, Inc. 254900OFQDXZRKRCV808 KBR, Inc., Convertible 48242WAB2 223000.00000000 PA USD 351643.13000000 0.075327639726 Long DBT CORP US N 2 2023-11-01 Fixed 0.02500000 N N N N Y KBR Inc KBR Inc USD XXXX N N N Helix Energy Solutions Group, Inc. 416AP2JOUTCWEGSOZW41 Helix Energy Solutions Group, Inc. 42330P107 2894.00000000 NS USD 14614.70000000 0.003130704860 Long EC CORP US N 1 N N N Suncor Energy Inc. 549300W70ZOQDVLCHY06 Suncor Energy, Inc. 867224AD9 34000.00000000 PA USD 36309.74000000 0.007778132942 Long DBT CORP CA N 2 2025-05-15 Fixed 0.03100000 N N N N N N Cleveland-Cliffs Inc. 549300TM2WLI2BJMDD86 Cleveland-Cliffs, Inc. 185899AK7 40000.00000000 PA USD 39932.00000000 0.008554079556 Long DBT CORP US N 2 2029-03-01 Fixed 0.04625000 N N N N N N Harley-Davidson, Inc. RLUFFFFW4GRYU77BTS24 Harley-Davidson Financial Services, Inc. 41283LAU9 52000.00000000 PA USD 53470.55000000 0.011454255700 Long DBT CORP US N 2 2022-02-04 Fixed 0.04050000 N N N N N N Enagas, S.A. N/A Enagas SA 87470LAD3 105000.00000000 PA USD 102548.25000000 0.021967491958 Long DBT CORP US N 2 2028-01-15 Fixed 0.05500000 N N N N N N Morgan Stanley & Co N/A CBOT 5-Yr. U.S. Treasury Note N/A 14.00000000 NC USD -2442.86000000 -0.00052330007 N/A DIR CORP US N 1 Morgan Stanley & Company N/A Long United States Department of The Treasury United States Treasury Note/Bond 2021-06-30 1730021.02000000 USD -2442.86000000 N N N Air Lease Corporation 5493004NW4M4P8TMMK63 Air Lease Corporation 00914AAK8 45000.00000000 PA USD 44866.59000000 0.009611148459 Long DBT CORP US N 2 2030-12-01 Fixed 0.03125000 N N N N N N Hindalco Industries Limited 549300G5F3W3B52WYL23 Novelis Corporation 670001AC0 70000.00000000 PA USD 73062.50000000 0.015651167925 Long DBT CORP US N 2 2026-09-30 Fixed 0.05875000 N N N N N N ServiceNow, Inc. 549300HJTQM36M0E1G39 ServiceNow, Inc. 81762P102 1661.00000000 NS USD 830682.71000000 0.177945657309 Long EC CORP US N 1 N N N Dana Incorporated KVWHW7YLZPFJM8QYNJ51 Dana, Inc. 235825AG1 75000.00000000 PA USD 80250.00000000 0.017190846549 Long DBT CORP US N 2 2028-06-15 Fixed 0.05625000 N N N N N N NEXSTAR BROADCASTING INC 5493006PK6I4I2OOT688 Nexstar Broadcasting, Inc., Term Loan N/A 772373.53000000 PA USD 765908.76000000 0.164070030706 Long DBT CORP US N 2 2026-09-19 Floating 0.02615100 N N N N N N Open Text Corporation N/A Open Text Corporation 683720AA4 65000.00000000 PA USD 65889.85000000 0.014114670411 Long DBT CORP CA N 2 2030-02-15 Fixed 0.04125000 N N N N N N PG&E Corporation 8YQ2GSDWYZXO2EDN3511 PG&E Corporation 69331CAJ7 40000.00000000 PA USD 42400.00000000 0.009082765030 Long DBT CORP US N 2 2030-07-01 Fixed 0.05250000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 617446448 10496.00000000 NS USD 815119.36000000 0.174611736292 Long EC CORP US N 1 N N N Parker-Hannifin Corporation 5493002CONDB4N2HKI23 Parker-Hannifin Corporation 701094AM6 70000.00000000 PA USD 74222.79000000 0.015899720789 Long DBT CORP US N 2 2024-06-14 Fixed 0.02700000 N N N N N N XPO Logistics, Inc. 54930096DB9LCLPN7H13 XPO Logistics, Inc. 983793AG5 110000.00000000 PA USD 115362.50000000 0.024712511340 Long DBT CORP US N 2 2024-08-15 Fixed 0.06750000 N N N N N N Digital Realty Trust, Inc. CD4SPTZ3YBTHY0C1AH38 Digital Realty Trust, LP 25389JAR7 67000.00000000 PA USD 73860.61000000 0.015822135982 Long DBT CORP US N 2 2027-08-15 Fixed 0.03700000 N N N N N N SIMMONS FOOD INC/SIMMONS N/A Simmons Foods, Inc. 82873MAA1 50000.00000000 PA USD 50438.50000000 0.010804741603 Long DBT CORP US N 2 2029-03-01 Fixed 0.04625000 N N N N N N Ford Motor Company UDSQCVRUX5BONN0VY111 Ford Motor Credit Company, LLC 345397XL2 190000.00000000 PA USD 198725.75000000 0.042570266339 Long DBT CORP US N 2 2025-08-04 Fixed 0.04134000 N N N N N N Umpqua Holdings Corporation 5299002ENJ7CY215BW86 Umpqua Holdings Corporation 904214103 5793.00000000 NS USD 101667.15000000 0.021778746103 Long EC CORP US N 1 N N N LyondellBasell Industries N.V. N/A LYB International Finance III, LLC 50249AAF0 63000.00000000 PA USD 62204.74000000 0.013325260311 Long DBT CORP US N 2 2025-10-01 Fixed 0.01250000 N N N N N N Prime Security Services Borrower, LLC N/A Prime Security Services Borrower, LLC 74166MAC0 165000.00000000 PA USD 178538.25000000 0.038245777682 Long DBT CORP US N 2 2026-04-15 Fixed 0.05750000 N N N N N N NiSource Inc. 549300D8GOWWH0SJB189 NiSource, Inc. 65473PAG0 43000.00000000 PA USD 44397.50000000 0.009510661802 Long DBT CORP US N 2 2023-06-15 Variable 0.05650000 N N N N N N Calpine Corporation 43R4VPJBXTU2O15HEF41 Calpine Corporation 131347CM6 115000.00000000 PA USD 115966.00000000 0.024841790791 Long DBT CORP US N 2 2028-02-15 Fixed 0.04500000 N N N N N N Univision Holdings, Inc. 549300YQDE2JSGTL8V47 Univision Communications, Inc. 914906AU6 120000.00000000 PA USD 128151.00000000 0.027452014656 Long DBT CORP US N 2 2027-06-01 Fixed 0.06625000 N N N N N N SOTERA HEALTH HLDGS LLC 549300OVT7MBXFLOFU20 Sotera Health Holdings, LLC, Term Loan N/A 318000.00000000 PA USD 316807.50000000 0.067865284963 Long DBT CORP US N 2 2026-12-13 Floating 0.03250000 N N N N N N ADIENT US LLC 213800SOTRCDGZUHL712 Adient US, LLC, Term Loan N/A 208936.70000000 PA USD 208675.53000000 0.044701669967 Long DBT CORP US N 2 2024-05-06 Floating 0.04379907 N N N N N N Gevo, Inc. 549300IV6EW4O1OJD686 Gevo, Inc. 374396406 9438.00000000 NS USD 92586.78000000 0.019833584143 Long EC CORP US N 1 N N China Petrochemical Corporation 549300C6OZZ8LTVR8209 Sinopec Group Overseas Development 2018, Ltd. 82939GAN8 42000.00000000 PA USD 42642.60000000 0.009134733870 Long DBT NUSS VG N 2 2025-05-13 Fixed 0.02150000 N N N N N N Baidu, Inc. 254900AL64IANZYI1E02 Baidu, Inc. 056752AQ1 39000.00000000 PA USD 41046.17000000 0.008792752771 Long DBT CORP KY N 2 2025-04-07 Fixed 0.03075000 N N N N N N Sleep Number Corporation 529900W0TZQLBT2DSS66 Sleep Number Corporation 83125X103 2041.00000000 NS USD 292863.09000000 0.062736005486 Long EC CORP US N 1 N N N Royal Dutch Shell plc 213800ITMMKU4Z7I4F78 Shell International Finance BV 822582CF7 31000.00000000 PA USD 32675.75000000 0.006999673571 Long DBT CORP NL N 2 2025-04-06 Fixed 0.02375000 N N N N N N Miller Industries, Inc. 549300F1O74SPUJ7UU94 Miller Industries, Inc. 600551204 5521.00000000 NS USD 255014.99000000 0.054628330977 Long EC CORP US N 1 N N N The Royal Bank of Scotland Group plc 2138005O9XJIJN4JPN90 Royal Bank of Scotland Group plc 780097BM2 25000.00000000 PA USD 26570.75000000 0.005691883937 Long DBT CORP GB N 2 2029-11-01 Variable 0.03754000 N N N N N N Loews Corporation 549300YX2GSZD7YG1R84 CNA Financial Corporation 126117AS9 40000.00000000 PA USD 43452.83000000 0.009308298226 Long DBT CORP US N 2 2024-05-15 Fixed 0.03950000 N N N N N N Motorola Solutions, Inc. 6S552MUG6KGJVEBSEC55 Motorola Solutions, Inc. 620076307 1617.00000000 NS USD 304076.85000000 0.065138174051 Long EC CORP US N 1 N N N Roper Technologies, Inc. 54930003T4SXCIWVXY35 Roper Technologies, Inc. 776743AM8 35000.00000000 PA USD 34400.66000000 0.007369177162 Long DBT CORP US N 2 2025-09-15 Fixed 0.01000000 N N N N N N CME Group Inc. LCZ7XYGSLJUHFXXNXD88 CME Group, Inc. 12572Q105 1786.00000000 NS USD 364754.78000000 0.078136366993 Long EC CORP US N 1 N N N iStar Inc. QFFLKWYYS3UPWD86E794 iSTAR Financial, Inc. 45031U101 1540.00000000 NS USD 27381.20000000 0.005865495421 Long EC CORP US N 1 N N N Marriott International, Inc. 225YDZ14ZO8E1TXUSU86 Marriott International, Inc. 571903BD4 65000.00000000 PA USD 74587.04000000 0.015977749024 Long DBT CORP US N 2 2025-05-01 Fixed 0.05750000 N N N N N N Legg Mason, Inc. 254900D3WFIV4SD8EF19 Royce Micro-Cap Trust, Inc. 780915104 4506.00000000 NS USD 50917.80000000 0.010907415407 Long RF US N 1 N N N Great Southern Bancorp, Inc. 5493000ZL7DLNMN1AB26 Great Southern Bancorp, Inc. 390905107 1292.00000000 NS USD 73217.64000000 0.015684401420 Long EC CORP US N 1 N N N FuelCell Energy, Inc. 549300SRU8020X1X9J22 FuelCell Energy, Inc. 35952H601 8667.00000000 NS USD 124891.47000000 0.026753770668 Long EC CORP US N 1 N N N Kinsale Capital Group, Inc. 529900QTUQHNZ6HOA508 Kinsale Capital Group, Inc. 49714P108 2189.00000000 NS USD 360747.20000000 0.077277878609 Long EC CORP US N 1 N N N The PNC Financial Services Group, Inc. AD6GFRVSDT01YPT1CS68 PNC Bank NA 69349LAS7 45000.00000000 PA USD 45993.82000000 0.009852619337 Long DBT CORP US N 2 2029-10-22 Fixed 0.02700000 N N N N N N Nordson Corporation 14OS6Q5N55N95WM84M53 Nordson Corporation 655663102 125.00000000 NS USD 24835.00000000 0.005320058243 Long EC CORP US N 1 N N N USR Parent, Inc. XQM2JINI1UL7642TU573 Staples, Inc. 855030AN2 130000.00000000 PA USD 137117.50000000 0.029372783822 Long DBT CORP US N 2 2026-04-15 Fixed 0.07500000 N N N N N N HSBC Holdings plc MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280BZ1 65000.00000000 PA USD 70190.23000000 0.015035881286 Long DBT CORP GB N 2 2025-03-11 Variable 0.03803000 N N N N N N MSC Industrial Direct Co., Inc. 0XVKH0LN6YGOWO2EGO17 MSC Industrial Direct Company, Inc. 553530106 811.00000000 NS USD 73144.09000000 0.015668645821 Long EC CORP US N 1 N N N 2021-04-28 Thrivent Series Fund, Inc. Sarah L. Bergstrom Sarah L. Bergstrom Head of Fund Accounting & Assistant Treasurer XXXX NPORT-EX 2 thrivent_RF56.htm 3/31/2021 SCHEDULE OF INVESTMENTS
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
1
Shares
Common
Stock
(
50.7%
)
Value
Communications
Services
(3.3%)
25,464
Activision
Blizzard,
Inc.
$
2,368,152
7,125
Alphabet,
Inc.,
Class
A
a
14,695,455
1,529
Alphabet,
Inc.,
Class
C
a
3,162,935
8,958
AMC
Networks,
Inc.
a
476,207
2,880
ANGI
Homeservices,
Inc.
a
37,440
22,512
AT&T,
Inc.
681,438
437
Cardlytics,
Inc.
a
47,939
1,816
Cars.com
Inc.
a
23,535
1,080
Charter
Communications,
Inc.
a
666,382
67,552
Comcast
Corporation
3,655,239
879
Consolidated
Communications
Holdings,
Inc.
a
6,329
14,541
Discovery,
Inc.,
Class
A
a,b
631,952
15,267
DISH
Network
Corporation
a
552,665
1,698
EchoStar
Corporation
a
40,752
5,801
Entercom
Communications
Corporation
a
30,455
31,287
Facebook,
Inc.
a
9,214,960
5,450
Gannett
Company,
Inc.
a
29,321
3,964
Gray
Television,
Inc.
72,938
770
Hemisphere
Media
Group,
Inc.
a
8,970
5,412
Interpublic
Group
of
Companies,
Inc.
158,030
33,846
Live
Nation
Entertainment,
Inc.
a
2,865,064
13,888
Lumen
Technologies,
Inc.
185,405
17,026
Match
Group,
Inc.
a
2,339,032
2,179
Omnicom
Group,
Inc.
161,573
98,296
QuinStreet,
Inc.
a
1,995,409
7,774
RingCentral,
Inc.
a
2,315,719
54
Roku,
Inc.
a
17,591
663
Scholastic
Corporation
19,963
5,530
Take-Two
Interactive
Software,
Inc.
a
977,151
6,756
Telephone
&
Data
Systems,
Inc.
155,118
56,451
Twitter,
Inc.
a
3,591,977
75,815
Uber
Technologies,
Inc.
a
4,132,676
1,098
United
States
Cellular
Corporation
a
40,055
61,544
Verizon
Communications,
Inc.
3,578,784
6,361
Walt
Disney
Company
a
1,173,732
2,998
WideOpenWest,
Inc.
a
40,743
5,100
Zillow
Group,
Inc.
a
670,038
Total
60,821,124
Consumer
Discretionary
(7.0%)
1,308
Aaron's
Company,
Inc.
33,589
4,065
Adient
plc
a
179,673
7,440
Amazon.com,
Inc.
a
23,019,955
6,589
American
Axle
&
Manufacturing
Holdings,
Inc.
a
63,650
6,277
American
Eagle
Outfitters,
Inc.
b
183,539
47,182
Aptiv
plc
a
6,506,398
10,405
At
Home
Group,
Inc.
a
298,623
2,673
AutoNation,
Inc.
a
249,177
1,160
AutoZone,
Inc.
a
1,628,988
11,761
Bally's
Corporation
a
764,230
2,141
Beazer
Homes
USA,
Inc.
a
44,790
1,398
Bed
Bath
&
Beyond,
Inc.
a
40,752
1,688
Big
5
Sporting
Goods
Corporation
26,502
2,444
Big
Lots,
Inc.
166,925
1,866
BJ's
Restaurants,
Inc.
a
108,377
1,339
Booking
Holdings,
Inc.
a
3,119,656
4,028
Bright
Horizons
Family
Solutions,
Inc.
a
690,601
841
Brinker
International,
Inc.
a
59,761
1,217
Brunswick
Corporation
116,065
Shares
Common
Stock
(50.7%)
Value
Consumer
Discretionary
(7.0%)
-
continued
6,207
Burlington
Stores,
Inc.
a
$
1,854,652
22,673
Caesars
Entertainment,
Inc.
a
1,982,754
454
Camping
World
Holdings,
Inc.
16,517
5,821
Carnival
Corporation
a
154,489
5,294
Carvana
Company
a
1,389,146
53
Cavco
Industries,
Inc.
a
11,957
32,930
Cedar
Fair,
LP
a
1,635,962
479
Century
Casinos,
Inc.
a
4,919
13,670
Chegg,
Inc.
a
1,170,972
19,486
Chewy,
Inc.
a,b
1,650,659
28,137
Chico's
FAS,
Inc.
a
93,133
1,885
Children's
Place,
Inc.
a
131,385
3,251
Chipotle
Mexican
Grill,
Inc.
a
4,619,086
10,956
Choice
Hotels
International,
Inc.
1,175,469
490
Churchill
Downs,
Inc.
111,436
90,517
Cooper-Standard
Holdings,
Inc.
a
3,287,577
1,864
Cracker
Barrel
Old
Country
Store,
Inc.
322,248
17,961
Crocs,
Inc.
a
1,444,962
3,948
Culp,
Inc.
60,760
13,649
D.R.
Horton,
Inc.
1,216,399
6,482
Dana,
Inc.
157,707
2,012
Darden
Restaurants,
Inc.
285,704
592
Deckers
Outdoor
Corporation
a
195,609
3,111
Designer
Brands,
Inc.
a
54,131
9,049
Dick's
Sporting
Goods,
Inc.
689,081
2,678
Dillard's,
Inc.
258,614
5,557
Domino's
Pizza,
Inc.
2,043,809
1,014
Dorman
Products,
Inc.
a
104,077
108,152
Duluth
Holdings,
Inc.
a,b
1,832,095
8,455
Emerald
Holding,
Inc.
a
46,672
834
Ethan
Allen
Interiors,
Inc.
23,027
2,231
Etsy,
Inc.
a
449,926
4,128
Expedia
Group,
Inc.
a
710,511
15,889
Farfetch,
Ltd.
a,b
842,435
12,389
Five
Below,
Inc.
a
2,363,697
3,550
Foot
Locker,
Inc.
199,688
262
Fox
Factory
Holding
Corporation
a
33,290
12,354
Gap,
Inc.
a
367,902
1,458
Garmin,
Ltd.
192,237
16,779
Gentex
Corporation
598,507
3,532
Genuine
Parts
Company
408,264
4,423
G-III
Apparel
Group,
Ltd.
a
133,309
6,481
Goodyear
Tire
&
Rubber
Company
a
113,871
125
Graham
Holdings
Company
70,305
2,200
Grand
Canyon
Education,
Inc.
a
235,620
1,728
Group
1
Automotive,
Inc.
272,661
7,385
Guess
?,
Inc.
173,548
17,805
Hanesbrands,
Inc.
350,224
19,823
Harley-Davidson,
Inc.
794,902
1,070
Helen
of
Troy,
Ltd.
a
225,406
5,942
Home
Depot,
Inc.
1,813,796
6,538
IAA,
Inc.
a
360,505
2,884
KB
Home
134,193
5,765
Knoll,
Inc.
95,180
25,034
Kohl's
Corporation
1,492,277
5,047
L
Brands,
Inc.
a
312,207
5,565
Lear
Corporation
1,008,656
43,754
Leggett
&
Platt,
Inc.
1,997,370
6,571
Lithia
Motors,
Inc.
2,563,281
18,691
Lowe's
Companies,
Inc.
3,554,654
3,271
Lululemon
Athletica,
Inc.
a
1,003,248
1,965
M.D.C.
Holdings,
Inc.
116,721
1,441
M/I
Homes,
Inc.
a
85,120
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
2
Shares
Common
Stock
(50.7%)
Value
Consumer
Discretionary
(7.0%)
-
continued
46,572
Macy's,
Inc.
a
$
754,001
4,356
Magnite,
Inc.
a
181,253
382
Marriott
Vacations
Worldwide
Corporation
a
66,537
22,992
Mattel,
Inc.
a
458,001
3,897
McDonald's
Corporation
873,474
318
Mercadolibre,
Inc.
a
468,141
1,424
Meritage
Homes
Corporation
a
130,894
30,324
Miller
Industries,
Inc.
1,400,666
4,313
Mohawk
Industries,
Inc.
a
829,433
2,382
Nautilus,
Inc.
a
37,254
6,844
NIKE,
Inc.
909,499
600
Noodles
&
Company
a
6,210
20,451
Nordstrom,
Inc.
a
774,479
12,428
Norwegian
Cruise
Line
Holdings,
Ltd.
a
342,889
827
NVR,
Inc.
a
3,895,939
10,642
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
925,854
4,702
Overstock.com,
Inc.
a
311,555
20,067
Park
Hotels
&
Resorts,
Inc.
a
433,046
6,383
Penn
National
Gaming,
Inc.
a
669,194
33,892
Planet
Fitness,
Inc.
a
2,619,852
3,147
Playa
Hotels
and
Resorts
NV
a
22,973
723
Pool
Corporation
249,609
5,800
PulteGroup,
Inc.
304,152
973
Purple
Innovation,
Inc.
a
30,795
535
PVH
Corporation
a
56,550
35,602
Qurate
Retail,
Inc.
418,680
169
Revolve
Group,
Inc.
a
7,593
1,033
RH
a
616,288
4,413
Ross
Stores,
Inc.
529,163
1,976
Royal
Caribbean
Cruises,
Ltd.
a
169,165
5,128
Ruth's
Hospitality
Group,
Inc.
a
127,328
29,166
Skyline
Corporation
a
1,320,053
11,233
Sleep
Number
Corporation
a
1,611,823
18,268
Sony
Corporation
ADR
1,936,591
3,880
Standard
Motor
Products,
Inc.
161,330
976
Stitch
Fix,
Inc.
a
48,351
42,595
Stoneridge,
Inc.
a
1,354,947
1,005
Strategic
Education,
Inc.
92,370
25,465
Taylor
Morrison
Home
Corporation
a
784,577
9,289
Tenneco,
Inc.
a
99,578
9,158
Tesla,
Inc.
a
6,116,903
15,508
Texas
Roadhouse,
Inc.
a
1,487,838
1,475
Thor
Industries,
Inc.
198,742
9,296
Toll
Brothers,
Inc.
527,362
376
TopBuild
Corporation
a
78,746
12,201
Tri
Pointe
Homes,
Inc.
a
248,412
3,179
TripAdvisor,
Inc.
a
170,998
10,954
Tupperware
Brands
Corporation
a
289,295
4,807
Ulta
Beauty,
Inc.
a
1,486,180
844
Vail
Resorts,
Inc.
a
246,161
627
Whirlpool
Corporation
138,159
327
Williams-Sonoma,
Inc.
58,598
11,542
Wingstop,
Inc.
1,467,796
42
Winmark
Corporation
7,830
3,418
Workhorse
Group,
Inc.
a,b
47,066
15,342
Wyndham
Hotels
&
Resorts,
Inc.
1,070,565
601
YETI
Holdings,
Inc.
a
43,398
32,143
Zumiez,
Inc.
a
1,378,935
Total
129,492,841
Consumer
Staples
(1.5%)
2,363
Altria
Group,
Inc.
120,891
Shares
Common
Stock
(50.7%)
Value
Consumer
Staples
(1.5%)
-
continued
19,440
BJ's
Wholesale
Club
Holdings,
Inc.
a
$
872,078
136
Boston
Beer
Company,
Inc.
a
164,054
906
Casey's
General
Stores,
Inc.
195,868
79
Church
&
Dwight
Company,
Inc.
6,901
6,926
Colgate-Palmolive
Company
545,977
3,270
Costco
Wholesale
Corporation
1,152,610
26,314
Coty,
Inc.
a
237,089
6,856
Darling
Ingredients,
Inc.
a
504,464
76,006
e.l.f.
Beauty,
Inc.
a
2,039,241
614
Edgewell
Personal
Care
Company
24,314
2,545
Flowers
Foods,
Inc.
60,571
26,473
Hain
Celestial
Group,
Inc.
a
1,154,223
1,533
Hershey
Company
242,459
1,533
Ingredion,
Inc.
137,847
9,959
John
B.
Sanfilippo
&
Son,
Inc.
899,995
5,967
Kimberly-Clark
Corporation
829,711
34,538
Lamb
Weston
Holdings,
Inc.
2,676,004
314
Medifast,
Inc.
66,511
9,073
Monster
Beverage
Corporation
a
826,460
9,660
NewAge,
Inc.
a,b
27,628
695
PepsiCo,
Inc.
98,308
2,601
Performance
Food
Group
Company
a
149,844
33,131
Philip
Morris
International,
Inc.
2,940,045
127,654
Primo
Water
Corporation
2,075,654
5,420
Procter
&
Gamble
Company
734,031
925
Seneca
Foods
Corporation
a
43,558
888
Spectrum
Brands
Holdings,
Inc.
75,480
304
Tootsie
Roll
Industries,
Inc.
10,072
77,947
Turning
Point
Brands,
Inc.
4,066,495
386
United
Natural
Foods,
Inc.
a
12,715
3,333
US
Foods
Holding
Corporation
a
127,054
783
Utz
Brands,
Inc.
19,411
991
Vector
Group,
Ltd.
13,824
26,937
Wal-Mart
Stores,
Inc.
3,658,853
23
WD-40
Company
7,042
Total
26,817,282
Energy
(1.1%)
16,071
Antero
Midstream
Corporation
145,121
33,100
Antero
Resources
Corporation
a
337,620
86
APA
Corporation
1,539
16,424
Archrock,
Inc.
155,864
371
Bonanza
Creek
Energy,
Inc.
a
13,256
45,960
BP
plc
ADR
1,119,126
25,807
Centennial
Resource
Development,
Inc.
a,b
108,389
2,501
Chevron
Corporation
262,080
11,875
Cimarex
Energy
Company
705,256
768
Clean
Energy
Fuels
Corporation
a
10,552
4,489
CNX
Resources
Corporation
a
65,988
23,127
ConocoPhillips
1,225,037
1,471
CONSOL
Energy,
Inc.
a
14,298
5,817
Continental
Resources,
Inc.
a
150,486
7,229
Core
Laboratories
NV
208,123
48
Delek
US
Holdings,
Inc.
1,045
143,652
Devon
Energy
Corporation
3,138,796
6,698
Diamondback
Energy,
Inc.
492,236
3,645
Dorian
LPG,
Ltd.
a
47,859
14,913
EnLink
Midstream,
LLC
63,977
38,207
Enterprise
Products
Partners,
LP
841,318
6,745
EOG
Resources,
Inc.
489,215
685
Evolution
Petroleum
Corporation
2,315
6,246
Exterran
Corporation
a
20,987
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
3
Shares
Common
Stock
(50.7%)
Value
Energy
(1.1%)
-
continued
12,745
Exxon
Mobil
Corporation
$
711,553
18,793
Gevo,
Inc.
a,b
184,359
20,227
Gran
Tierra
Energy,
Inc.
a,b
14,155
38,074
Halliburton
Company
817,068
18,378
Helix
Energy
Solutions
Group,
Inc.
a
92,809
77,274
Helmerich
&
Payne,
Inc.
2,083,307
9,074
HollyFrontier
Corporation
324,668
50,106
Kinder
Morgan,
Inc.
834,265
3,293
Liberty
Oilfield
Services,
Inc.
a
37,178
23,302
Marathon
Oil
Corporation
248,865
22,516
Marathon
Petroleum
Corporation
1,204,381
956
Nabors
Industries,
Ltd.
a
89,338
83,092
Nine
Energy
Service,
Inc.
a
191,112
13,071
Occidental
Petroleum
Corporation
347,950
4,013
Oceaneering
International,
Inc.
a
45,829
14,463
Patterson-UTI
Energy,
Inc.
103,121
9,806
Pioneer
Natural
Resources
Company
1,557,389
3,047
Plains
GP
Holdings,
LP
a
28,642
4,442
ProPetro
Holding
Corporation
a
47,352
1,397
Renewable
Energy
Group,
Inc.
a
92,258
3,800
Ring
Energy,
Inc.
a,b
8,778
19,528
Talos
Energy,
Inc.
a
235,117
2,234
Targa
Resources
Corporation
70,930
30,639
Transocean,
Ltd.
a
108,768
241
TravelCenters
of
America,
Inc.
a
6,538
6,991
Valero
Energy
Corporation
500,556
Total
19,606,769
Financials
(7.4%)
137
1st
Source
Corporation
6,518
1,654
AG
Mortgage
Investment
Trust,
Inc.
6,666
47,162
Air
Lease
Corporation
2,310,938
1,336
Alleghany
Corporation
a
836,723
23,470
Ally
Financial,
Inc.
1,061,079
15,276
American
Equity
Investment
Life
Holding
Company
481,652
18,234
American
Express
Company
2,579,017
9,484
American
Financial
Group,
Inc.
1,082,124
169
American
National
Group,
Inc.
18,230
1,262
Ameriprise
Financial,
Inc.
293,352
16,120
Ameris
Bancorp
846,461
32,323
Annaly
Capital
Management,
Inc.
277,978
9,539
Apollo
Commercial
Real
Estate
Finance,
Inc.
133,260
34,340
Arch
Capital
Group,
Ltd.
a
1,317,626
1,069
Argo
Group
International
Holdings,
Ltd.
53,792
13,118
Arthur
J.
Gallagher
&
Company
1,636,733
3,062
Artisan
Partners
Asset
Management,
Inc.
159,745
26,060
Associated
Banc-Corp
556,120
58,297
Assured
Guaranty,
Ltd.
2,464,797
1,606
Bancorp,
Inc.
a
33,276
111,099
Bank
of
America
Corporation
4,298,420
1,690
Bank
of
Marin
Bancorp
66,180
34,458
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
1,316,985
3,849
BankFinancial
Corporation
39,722
9,226
Banner
Corporation
492,023
3,456
Berkshire
Hathaway,
Inc.
a
882,904
19,414
Berkshire
Hills
Bancorp,
Inc.
433,321
1,418
BlackRock,
Inc.
1,069,115
1,752
Blackstone
Mortgage
Trust,
Inc.
54,312
89
BM
Technologies,
Inc.
a,c
985
Shares
Common
Stock
(50.7%)
Value
Financials
(7.4%)
-
continued
518
BOK
Financial
Corporation
$
46,268
76,909
Bridgewater
Bancshares,
Inc.
a
1,242,080
7,581
Brighthouse
Financial,
Inc.
a
335,459
14,726
BrightSphere
Investment
Group
300,116
1,317
Broadmark
Realty
Capital,
Inc.
13,776
9,054
Brookline
Bancorp,
Inc.
135,810
1,441
Brown
&
Brown,
Inc.
65,868
2,423
Byline
Bancorp,
Inc.
51,246
21,741
Capital
One
Financial
Corporation
2,766,107
10,066
Central
Pacific
Financial
Corporation
268,561
66,779
Charles
Schwab
Corporation
4,352,655
21,466
Chimera
Investment
Corporation
272,618
9,961
Chubb,
Ltd.
1,573,539
7,099
Cincinnati
Financial
Corporation
731,836
35,117
Citigroup,
Inc.
2,554,762
6,133
Citizens
Financial
Group,
Inc.
270,772
3,534
CME
Group,
Inc.
721,749
6,878
CNO
Financial
Group,
Inc.
167,067
53,047
Columbia
Banking
System,
Inc.
2,285,795
16,585
Comerica,
Inc.
1,189,808
598
Commerce
Bancshares,
Inc.
45,813
10,573
Community
Trust
Bancorp,
Inc.
465,529
747
Cowen,
Inc.
26,257
900
Cullen/Frost
Bankers,
Inc.
97,884
2,691
Customers
Bancorp,
Inc.
a
85,628
234
Diamond
Hill
Investment
Group,
Inc.
36,506
1,347
Dime
Community
Bancshares,
Inc.
40,599
13,373
Discover
Financial
Services
1,270,301
4,687
East
West
Bancorp,
Inc.
345,901
3,993
Ellington
Residential
Mortgage
REIT
49,154
428
Employers
Holdings,
Inc.
18,430
808
Encore
Capital
Group,
Inc.
a
32,506
2,834
Enova
International,
Inc.
a
100,550
191
Enstar
Group,
Ltd.
a
47,125
1,195
Enterprise
Financial
Services
Corporation
59,081
74,787
Equitable
Holdings,
Inc.
2,439,552
3,449
Essent
Group,
Ltd.
163,793
15,737
Evercore,
Inc.
2,073,192
223,721
Everi
Holdings,
Inc.
a
3,156,703
30,844
F.N.B.
Corporation
391,719
1,877
FactSet
Research
Systems,
Inc.
579,223
361
Federal
Agricultural
Mortgage
Corporation
36,360
6,281
Financial
Institutions,
Inc.
190,252
946
First
American
Financial
Corporation
53,591
12,456
First
Bancorp/Puerto
Rico
140,255
11,717
First
Busey
Corporation
300,541
15,933
First
Financial
Bancorp
382,392
3,660
First
Financial
Corporation
164,737
3,735
First
Horizon
Corporation
63,159
503
First
Mid-Illinois
Bancshares,
Inc.
22,097
11,586
First
Midwest
Bancorp,
Inc.
253,849
486
First
of
Long
Island
Corporation
10,328
9,955
First
Republic
Bank
1,659,996
20,132
Flagstar
Bancorp,
Inc.
907,953
1,255
Flushing
Financial
Corporation
26,644
45,768
Fulton
Financial
Corporation
779,429
19,608
Glacier
Bancorp,
Inc.
1,119,225
2,448
Goldman
Sachs
Group,
Inc.
800,496
11,239
Granite
Point
Mortgage
Trust,
Inc.
134,531
9,594
Great
Southern
Bancorp,
Inc.
543,692
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
4
Shares
Common
Stock
(50.7%)
Value
Financials
(7.4%)
-
continued
8,085
Great
Western
Bancorp,
Inc.
$
244,895
11,075
Hamilton
Lane,
Inc.
980,802
29,109
Hancock
Whitney
Corporation
1,222,869
6,573
Hanmi
Financial
Corporation
129,685
5,390
Hanover
Insurance
Group,
Inc.
697,789
56,456
Heartland
Financial
USA,
Inc.
2,837,479
12,649
Heritage
Commerce
Corporation
154,571
795
Hilltop
Holdings,
Inc.
27,133
227
HomeStreet,
Inc.
10,004
6,969
Hometrust
Bancshares,
Inc.
169,695
54,251
Hope
Bancorp,
Inc.
817,020
7,310
Horizon
Bancorp,
Inc.
135,820
8,319
Independent
Bank
Corporation
196,661
11,823
Invesco
Mortgage
Capital.
Inc.
47,410
20,693
Invesco,
Ltd.
521,877
33,852
J.P.
Morgan
Chase
&
Company
5,153,290
29,449
James
River
Group
Holdings,
Ltd.
1,343,463
8,764
Jefferies
Financial
Group,
Inc.
263,796
45,577
KeyCorp
910,628
16,054
Kinsale
Capital
Group,
Inc.
2,645,699
459
KKR
Real
Estate
Finance
Trust,
Inc.
8,441
8,137
Ladder
Capital
Corporation
96,017
2,976
Lakeland
Bancorp,
Inc.
51,872
10,216
Lincoln
National
Corporation
636,150
3,327
Loews
Corporation
170,609
110
Markel
Corporation
a
125,358
156
MarketAxess
Holdings,
Inc.
77,676
8,103
Marsh
&
McLennan
Companies,
Inc.
986,945
2,936
Mercantile
Bank
Corporation
95,332
14,391
Meridian
Bancorp,
Inc.
265,082
8,175
MetLife,
Inc.
496,958
68,619
MFA
Financial,
Inc.
279,279
4,593
Midland
States
Bancorp,
Inc.
127,410
11,264
MidWestOne
Financial
Group,
Inc.
348,846
1,238
Moody's
Corporation
369,679
35,221
Morgan
Stanley
2,735,263
4,967
Mr.
Cooper
Group,
Inc.
a
172,653
3,735
MSCI,
Inc.
1,566,011
171
National
Western
Life
Group,
Inc.
42,579
14,985
Navient
Corporation
214,435
354
NBT
Bancorp,
Inc.
14,125
43,585
New
York
Community
Bancorp,
Inc.
550,043
7,867
New
York
Mortgage
Trust,
Inc.
35,166
3,930
NMI
Holdings,
Inc.
a
92,905
5,157
Northern
Trust
Corporation
542,052
3,998
OFG
Bancorp
90,435
10,800
Old
National
Bancorp
208,872
4,590
Old
Republic
International
Corporation
100,246
3,248
Old
Second
Bancorp,
Inc.
42,906
1,030
OneMain
Holdings,
Inc.
55,332
559
Oppenheimer
Holdings,
Inc.
22,388
14,295
PacWest
Bancorp
545,354
278
Peapack-Gladstone
Financial
Corporation
8,585
1,935
PennyMac
Mortgage
Investment
Trust
37,926
1,361
Peoples
Bancorp,
Inc.
45,144
20,696
Popular,
Inc.
1,455,343
12,040
Premier
Financial
Corporation
400,450
12,915
Primerica,
Inc.
1,909,095
2,829
PROG
Holdings,
Inc.
122,467
1,875
Prosperity
Bancshares,
Inc.
140,419
Shares
Common
Stock
(50.7%)
Value
Financials
(7.4%)
-
continued
7,684
QCR
Holdings,
Inc.
$
362,838
43,775
Radian
Group,
Inc.
1,017,769
17,272
Raymond
James
Financial,
Inc.
2,116,856
14,968
Redwood
Trust,
Inc.
155,817
5,379
Reinsurance
Group
of
America,
Inc.
678,023
1,529
RenaissanceRe
Holdings,
Ltd.
245,022
378
RLI
Corporation
42,173
9,577
S&P
Global,
Inc.
3,379,436
1,331
Safety
Insurance
Group,
Inc.
112,137
64,232
Seacoast
Banking
Corporation
of
Florida
a
2,327,768
8,673
SEI
Investments
Company
528,446
9,460
Selective
Insurance
Group,
Inc.
686,228
6,230
Signature
Bank
1,408,603
3,447
Simmons
First
National
Corporation
102,273
969
Southside
Bancshares,
Inc.
37,316
6,454
Starwood
Property
Trust,
Inc.
159,672
3,451
Sterling
Bancorp
79,442
1,112
Stifel
Financial
Corporation
71,235
38,266
Synovus
Financial
Corporation
1,750,670
3,937
T.
Rowe
Price
Group,
Inc.
675,589
1,384
Territorial
Bancorp,
Inc.
36,621
8,478
TMX
Group,
Ltd.
880,992
65
Tompkins
Financial
Corporation
5,376
6,415
Torchmark
Corporation
619,881
2,308
Towne
Bank
70,163
10,456
TPG
RE
Finance
Trust,
Inc.
117,107
2,774
TriCo
Bancshares
131,404
25,119
Triumph
Bancorp,
Inc.
a
1,943,959
28,175
Truist
Financial
Corporation
1,643,166
10,038
TrustCo
Bank
Corporation
73,980
2,951
Trustmark
Corporation
99,331
17,966
Two
Harbors
Investment
Corporation
131,691
55,287
Umpqua
Holdings
Corporation
970,287
8,077
United
Bankshares,
Inc.
311,611
550
Universal
Insurance
Holdings,
Inc.
7,887
887
Univest
Financial
Corporation
25,359
28,988
Unum
Group
806,736
18,147
Valley
National
Bancorp
249,340
4,361
Voya
Financial,
Inc.
277,534
203
Walker
&
Dunlop,
Inc.
20,856
1,644
Washington
Trust
Bancorp,
Inc.
84,880
1,022
Webster
Financial
Corporation
56,322
89,004
Wells
Fargo
&
Company
3,477,386
4,234
WesBanco,
Inc.
152,678
163
Westamerica
Bancorporation
10,233
76,641
Western
Alliance
Bancorp
7,237,976
13,531
Western
Asset
Mortgage
Capital
Corporation
43,164
170
Westwood
Holdings
Group,
Inc.
2,458
8,479
Wintrust
Financial
Corporation
642,708
43,311
Zions
Bancorporations
NA
2,380,373
3,726
Zurich
Insurance
Group
AG
1,585,978
Total
137,102,103
Health
Care
(6.9%)
5,093
Abbott
Laboratories
610,345
8,951
AbbVie,
Inc.
968,677
65,096
ACADIA
Pharmaceuticals,
Inc.
a
1,679,477
401
Acceleron
Pharma,
Inc.
a
54,380
32,724
Adaptive
Biotechnologies
Corporation
a
1,317,468
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
5
Shares
Common
Stock
(50.7%)
Value
Health
Care
(6.9%)
-
continued
1,328
ADMA
Biologics,
Inc.
a
$
2,337
2,317
Adverum
Biotechnologies,
Inc.
a
22,846
1,078
Align
Technology,
Inc.
a
583,769
204
Allakos,
Inc.
a
23,415
1,421
Altimmune,
Inc.
a
20,079
2,684
Amedisys,
Inc.
a
710,696
12,985
Amgen,
Inc.
3,230,798
22,466
AMN
Healthcare
Services,
Inc.
a
1,655,744
656
AnaptysBio,
Inc.
a
14,137
6,110
Anthem,
Inc.
2,193,185
152,905
Ardelyx,
Inc.
a
1,012,231
5,124
Arena
Pharmaceuticals,
Inc.
a
355,554
6,720
Argenx
SE
ADR
a
1,850,621
2,347
Arrowhead
Research
Corporation
a
155,630
12,651
Ascendis
Pharma
AS
ADR
a
1,630,461
1,579
Atara
Biotherapeutics,
Inc.
a
22,674
72
Atrion
Corporation
46,174
24,669
Axonics
Modulation
Technologies,
Inc.
a
1,477,426
3,609
Becton,
Dickinson
and
Company
877,528
3,928
Biogen,
Inc.
a
1,098,858
28,466
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
1,945,651
173
Bio-Rad
Laboratories,
Inc.
a
98,812
7,325
Bio-Techne
Corporation
2,797,637
731
BioXcel
Therapeutics,
Inc.
a,b
31,550
641
Bruker
Corporation
41,203
14,885
Catalent,
Inc.
a
1,567,539
16,284
Centene
Corporation
a
1,040,710
26,059
Cerner
Corporation
1,873,121
2,770
Charles
River
Laboratories
International,
Inc.
a
802,829
551
Chemed
Corporation
253,361
8,817
Cigna
Holding
Company
2,131,422
232
Co-Diagnostics,
Inc.
a,b
2,213
173
Cooper
Companies,
Inc.
66,448
2,933
CryoLife,
Inc.
a
66,227
15,649
CVS
Health
Corporation
1,177,274
1,227
CytomX
Therapeutics,
Inc.
a
9,485
550
Danaher
Corporation
123,794
10,417
Dexcom,
Inc.
a
3,743,766
1,203
Editas
Medicine,
Inc.
a,b
50,526
29,261
Edwards
Lifesciences
Corporation
a
2,447,390
4,057
Envista
Holdings
Corporation
a
165,526
48
Fate
Therapeutics,
Inc.
a
3,958
22,709
GlaxoSmithKline
plc
ADR
b
810,484
3,792
Global
Blood
Therapeutics,
Inc.
a
154,524
32,282
GoodRx
Holdings,
Inc.
a,b
1,259,644
25,009
Guardant
Health,
Inc.
a
3,817,624
3,295
Haemonetics
Corporation
a
365,778
30,046
Halozyme
Therapeutics,
Inc.
a
1,252,618
8,506
HCA
Healthcare,
Inc.
1,602,020
2,543
HealthEquity,
Inc.
a
172,924
4,259
Hill-Rom
Holdings,
Inc.
470,534
5,118
Humana,
Inc.
2,145,722
20
ICU
Medical,
Inc.
a
4,109
1,939
Illumina,
Inc.
a
744,692
24,319
Immunocore
Holdings
plc
ADR
a
1,035,260
2,038
ImmunoGen,
Inc.
a
16,508
18,921
InMode,
Ltd.
a
1,369,313
9,314
Inspire
Medical
Systems,
Inc.
a
1,927,905
8,578
Insulet
Corporation
a
2,238,172
1,451
Integra
LifeSciences
Holdings
Corporation
a
100,250
3,398
Intuitive
Surgical,
Inc.
a
2,510,918
Shares
Common
Stock
(50.7%)
Value
Health
Care
(6.9%)
-
continued
2,497
Invitae
Corporation
a,b
$
95,410
9,442
Ionis
Pharmaceuticals,
Inc.
a
424,512
4,029
IQVIA
Holding,
Inc.
a
778,161
3,474
iRhythm
Technologies,
Inc.
a
482,400
27,485
Johnson
&
Johnson
4,517,160
1,582
Kura
Oncology,
Inc.
a
44,723
1,298
Laboratory
Corporation
of
America
Holdings
a
331,029
1,120
Lannett
Company,
Inc.
a
5,914
45,546
Lantheus
Holdings,
Inc.
a
973,318
30,335
LHC
Group,
Inc.
a
5,800,355
34,372
Medtronic
plc
4,060,364
40,080
Merck
&
Company,
Inc.
3,089,767
281
Mettler-Toledo
International,
Inc.
a
324,749
164
Mirati
Therapeutics,
Inc.
a
28,093
2,346
Moderna,
Inc.
a
307,209
3,766
Molina
Healthcare,
Inc.
a
880,340
19,215
Natera,
Inc.
a
1,951,091
3,525
National
Healthcare
Corporation
274,633
1,208
Neogen
Corporation
a
107,379
19,495
Nevro
Corporation
a
2,719,553
1,879
Novavax,
Inc.
a
340,682
20,454
Novo
Nordisk
AS
ADR
1,379,009
13,624
NuVasive,
Inc.
a
893,189
2,710
Olink
Holding
AB
ADR
a
97,560
1,795
Omnicell,
Inc.
a
233,117
10,378
OPKO
Health,
Inc.
a
44,522
571
Orthifix
Medical,
Inc.
a
24,753
510
Owens
&
Minor,
Inc.
19,171
885
Precigen,
Inc.
a,b
6,098
3,272
Premier,
Inc.
110,757
17,231
Pulmonx
Corporation
a
788,146
2,998
Quidel
Corporation
a
383,534
1,958
Reata
Pharmaceuticals,
Inc.
a
195,213
7,118
Repligen
Corporation
a
1,383,810
271
Replimune
Group,
Inc.
a
8,268
704
Sage
Therapeutics,
Inc.
a
52,694
3,580
Sarepta
Therapeutics,
Inc.
a
266,817
141
Seres
Therapeutics,
Inc.
a
2,903
27,530
Silk
Road
Medical,
Inc.
a
1,394,395
10,719
Stryker
Corporation
2,610,934
278
Surmodics,
Inc.
a
15,587
35,991
Syneos
Health,
Inc.
a
2,729,917
49,304
Tactile
Systems
Technology,
Inc.
a
2,686,575
8,028
Teladoc
Health,
Inc.
a
1,459,089
6,162
Teleflex,
Inc.
2,560,065
2,126
Tenet
Healthcare
Corporation
a
110,552
8,943
Thermo
Fisher
Scientific,
Inc.
4,081,406
17,864
Travere
Therapeutics,
Inc.
a
446,064
698
U.S.
Physical
Therapy,
Inc.
72,662
28
Ultragenyx
Pharmaceutical,
Inc.
a
3,188
984
United
Therapeutics
Corporation
a
164,594
3,611
UnitedHealth
Group,
Inc.
1,343,545
27,196
Vaxart,
Inc.
a,b
164,536
11,206
VBI
Vaccines,
Inc.
a,b
34,851
13,782
Veeva
Systems,
Inc.
a
3,600,410
32,984
Viatris,
Inc.
a
460,786
77,524
Viemed
Healthcare,
Inc.
a
784,543
1,276
ViewRay,
Inc.
a
5,551
478
Vocera
Communications,
Inc.
a
18,384
22,583
Vor
BioPharma,
Inc.
a
973,327
543
Waters
Corporation
a
154,304
3,805
Zimmer
Biomet
Holdings,
Inc.
609,104
25,038
Zoetis,
Inc.
3,942,984
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
6
Shares
Common
Stock
(50.7%)
Value
Health
Care
(6.9%)
-
continued
23,111
Zymeworks,
Inc.
a
$
729,845
Total
128,637,552
Industrials
(7.4%)
8,731
Advanced
Drainage
Systems,
Inc.
902,698
6,210
AECOM
a
398,123
2,114
Allegion
plc
265,561
68,562
Altra
Industrial
Motion
Corporation
3,792,850
8,811
AMETEK,
Inc.
1,125,429
1,406
Apogee
Enterprises,
Inc.
57,477
1,441
Armstrong
World
Industries,
Inc.
129,820
46,855
ASGN,
Inc.
a
4,471,841
2,062
Axon
Enterprise,
Inc.
a
293,670
10,136
AZZ,
Inc.
510,348
61,929
Badger
Daylighting,
Ltd.
2,112,593
6,448
Blink
Charging
Company
a,b
265,013
3,915
Bloom
Energy
Corporation
a
105,901
2,570
Boeing
Company
a
654,630
9,237
Carlisle
Companies,
Inc.
1,520,225
12,754
CBIZ,
Inc.
a
416,546
23,732
Chart
Industries,
Inc.
a
3,378,250
77
Copart,
Inc.
a
8,363
1,603
CRA
International,
Inc.
119,648
26,536
Crane
Company
2,491,996
6,054
CSW
Industrials,
Inc.
817,290
10,661
CSX
Corporation
1,027,934
54
Cummins,
Inc.
13,992
26,313
Curtiss-Wright
Corporation
3,120,722
36,723
Delta
Air
Lines,
Inc.
a
1,772,986
476
Diamond
S
Shipping,
Inc.
a
4,774
930
Douglas
Dynamics,
Inc.
42,919
721
Dycom
Industries,
Inc.
a
66,945
4,730
Eaton
Corporation
plc
654,064
5,739
EMCOR
Group,
Inc.
643,686
6,961
Emerson
Electric
Company
628,021
9,391
Encore
Wire
Corporation
630,418
1,581
Expeditors
International
of
Washington,
Inc.
170,258
9,343
Forrester
Research,
Inc.
a
396,891
31,633
Forward
Air
Corporation
2,809,327
17,125
FuelCell
Energy,
Inc.
a
246,771
3,188
GATX
Corporation
295,655
6,320
Generac
Holdings,
Inc.
a
2,069,484
13,342
General
Dynamics
Corporation
2,422,374
4,888
Gorman-Rupp
Company
161,842
1,955
Greenbrier
Companies,
Inc.
92,315
5,014
Heico
Corporation
630,761
24,581
Helios
Technologies,
Inc.
1,791,217
15,248
Honeywell
International,
Inc.
3,309,883
105,490
Howmet
Aerospace,
Inc.
a
3,389,394
6,148
Hubbell,
Inc.
1,149,000
718
ICF
International,
Inc.
62,753
10,683
IDEX
Corporation
2,236,166
545
Illinois
Tool
Works,
Inc.
120,728
149
Insperity,
Inc.
12,477
967
International
Seaways,
Inc.
18,740
283
JB
Hunt
Transport
Services,
Inc.
47,564
7,249
JetBlue
Airways
Corporation
a
147,445
260
John
Bean
Technologies
Corporation
34,668
43,765
Johnson
Controls
International
plc
2,611,458
6,202
Kansas
City
Southern
1,636,832
628
Kimball
International,
Inc.
8,792
11,223
L3Harris
Technologies,
Inc.
2,274,678
6,323
Landstar
System,
Inc.
1,043,674
Shares
Common
Stock
(50.7%)
Value
Industrials
(7.4%)
-
continued
972
Lennox
International,
Inc.
$
302,865
33,322
Lincoln
Electric
Holdings,
Inc.
4,096,607
7,122
Lockheed
Martin
Corporation
2,631,579
28,023
Manpower,
Inc.
2,771,475
1,193
Masonite
International
Corporation
a
137,481
29,624
Mercury
Systems,
Inc.
a
2,092,936
130,034
Meritor,
Inc.
a
3,825,600
3,529
Mesa
Air
Group,
Inc.
a
47,465
30,934
Middleby
Corporation
a
5,127,310
7,636
MSC
Industrial
Direct
Company,
Inc.
688,691
39,399
NAPCO
Security
Technologies,
Inc.
a
1,372,267
944
Nordson
Corporation
187,554
8,153
Norfolk
Southern
Corporation
2,189,244
2,412
Northrop
Grumman
Corporation
780,620
13,154
Nutrien,
Ltd.
708,869
9,308
Old
Dominion
Freight
Line,
Inc.
2,237,736
9,419
Otis
Worldwide
Corporation
644,731
6,614
Parker-Hannifin
Corporation
2,086,254
24,334
Pitney
Bowes,
Inc.
200,512
1,884
Primoris
Services
Corporation
62,417
2,541
Quad/Graphics,
Inc.
a
8,970
24,049
Ranpak
Holdings
Corporation
a
482,423
56,410
Raven
Industries,
Inc.
2,162,195
17,333
Raytheon
Technologies
Corporation
1,339,321
5,786
RBC
Bearings,
Inc.
a
1,138,511
36,070
Regal-Beloit
Corporation
5,146,468
44,794
Ritchie
Brothers
Auctioneers,
Inc.
2,622,689
31,117
Rush
Enterprises,
Inc.
1,550,560
2,326
Ryder
System,
Inc.
175,962
5,162
Saia,
Inc.
a
1,190,254
10,151
Simpson
Manufacturing
Company,
Inc.
1,052,963
2,602
SkyWest,
Inc.
a
141,757
15,730
Smith
&
Wesson
Brands,
Inc.
274,488
1,291
Snap-On,
Inc.
297,885
15,986
Southwest
Airlines
Company
a
976,105
9,456
Spirit
Airlines,
Inc.
a,b
348,926
10,680
Standex
International
Corporation
1,020,688
1,185
Sterling
Construction
Company,
Inc.
a
27,492
64,950
Summit
Materials,
Inc.
a
1,819,899
25,199
Sun
Country
Airlines
Holdings,
Inc.
a
863,822
448
Sunrun,
Inc.
a
27,095
2,248
Technip
Energies
N.V.
ADR
a
33,653
679
Teledyne
Technologies,
Inc.
a
280,868
1,306
Tetra
Tech,
Inc.
177,250
1,004
Thermon
Group
Holdings,
Inc.
a
19,568
11,600
Timken
Company
941,572
34
Toro
Company
3,507
411
Trane
Technologies
plc
68,045
24,584
TransUnion
2,212,560
11,727
Trex
Company,
Inc.
a
1,073,490
10,210
TriMas
Corporation
a
309,567
7,102
Tutor
Perini
Corporation
a
134,583
642
UniFirst
Corporation
143,622
4,027
Union
Pacific
Corporation
887,591
9,807
United
Parcel
Service,
Inc.
1,667,092
18,813
United
Rentals,
Inc.
a
6,195,309
3,530
Valmont
Industries,
Inc.
838,975
2,127
Verisk
Analytics,
Inc.
375,820
2,224
Waste
Connections,
Inc.
240,148
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
7
Shares
Common
Stock
(50.7%)
Value
Industrials
(7.4%)
-
continued
2,179
Watsco,
Inc.
$
568,174
250
Watts
Water
Technologies,
Inc.
29,703
1,040
Welbilt,
Inc.
a
16,900
4,731
Werner
Enterprises,
Inc.
223,161
23,560
WESCO
International,
Inc.
a
2,038,647
18,182
Willdan
Group,
Inc.
a
746,371
2,343
Woodward,
Inc.
282,636
4,834
XPO
Logistics,
Inc.
a
596,032
2,228
Xylem,
Inc.
234,341
Total
136,835,751
Information
Technology
(11.2%)
1,471
3D
Systems
Corporation
a
40,364
3,823
Accenture
plc
1,056,104
11,947
Adobe,
Inc.
a
5,679,245
74
ADTRAN,
Inc.
1,234
11,151
Advanced
Energy
Industries,
Inc.
1,217,355
33,034
Agilysys,
Inc.
a
1,584,311
8,796
Alliance
Data
Systems
Corporation
985,944
857
Ambarella,
Inc.
a
86,034
26,137
Amphenol
Corporation
1,724,258
814
Analog
Devices,
Inc.
126,235
58,118
Anaplan,
Inc.
a
3,129,654
2,535
ANSYS,
Inc.
a
860,785
158,436
Apple,
Inc.
19,352,957
1,349
Aspen
Technology,
Inc.
a
194,701
5,629
Atlassian
Corporation
plc
a
1,186,368
13,232
Avalara,
Inc.
a
1,765,546
22,710
Axcelis
Technologies,
Inc.
a
933,154
26,876
Bandwidth,
Inc.
a,b
3,406,264
3,092
Belden,
Inc.
137,192
5,065
Benchmark
Electronics,
Inc.
156,610
65,196
BigCommerce
Holdings,
Inc.
a
3,768,329
941
Bill.com
Holdings,
Inc.
a
136,915
6,945
Blackline,
Inc.
a
752,838
107
Broadcom,
Ltd.
49,612
623
Broadridge
Financial
Solutions,
Inc.
95,381
170
CACI
International,
Inc.
a
41,932
31,136
Calix,
Inc.
a
1,079,174
5,647
CDK
Global,
Inc.
305,277
2,863
CDW
Corporation
474,542
1,132
Ceridian
HCM
Holding,
Inc.
a
95,394
32,086
Ciena
Corporation
a
1,755,746
81,658
Cisco
Systems,
Inc.
4,222,535
9,794
Cognex
Corporation
812,804
22,720
Computer
Services,
Inc.
1,340,480
427
Concentrix
Corporation
a
63,930
6,173
Coupa
Software,
Inc.
a
1,570,905
4,062
Cree,
Inc.
a
439,224
1,472
CTS
Corporation
45,720
15,450
Descartes
Systems
Group,
Inc.
a
941,059
2,511
Diebold
Nixdorf,
Inc.
a
35,480
8,219
DocuSign,
Inc.
a
1,663,937
38,247
Dolby
Laboratories,
Inc.
3,775,744
18
Domo,
Inc.
a
1,013
22,817
Dropbox,
Inc.
a
608,301
977
DSP
Group,
Inc.
a
13,922
29,185
Elastic
NV
a
3,245,372
18,058
Endava
plc
ADR
a
1,529,332
5,000
Enphase
Energy,
Inc.
a
810,800
3,090
EPAM
Systems,
Inc.
a
1,225,772
3,015
ePlus,
Inc.
a
300,415
18,636
Euronet
Worldwide,
Inc.
a
2,577,359
912
ExlService
Holdings,
Inc.
a
82,226
Shares
Common
Stock
(50.7%)
Value
Information
Technology
(11.2%)
-
continued
2,874
eXp
World
Holdings,
Inc.
a,b
$
130,911
2,350
F5
Networks,
Inc.
a
490,257
6,159
Fastly,
Inc.
a,b
414,378
3,862
First
Solar,
Inc.
a
337,153
13,211
Five9,
Inc.
a
2,065,276
2,051
FleetCor
Technologies,
Inc.
a
550,960
11,371
Global
Payments,
Inc.
2,292,166
16,346
Health
Catalyst,
Inc.
a,b
764,502
2,240
Intuit,
Inc.
858,054
66
IPG
Photonics
Corporation
a
13,922
5,562
Jack
Henry
&
Associates,
Inc.
843,867
1,059
KLA-Tencor
Corporation
349,894
2,369
Lam
Research
Corporation
1,410,124
27,120
Lattice
Semiconductor
Corporation
a
1,220,942
5,160
Littelfuse,
Inc.
1,364,510
20,887
LivePerson,
Inc.
a
1,101,580
26,434
Lumentum
Holdings,
Inc.
a
2,414,746
1,217
Manhattan
Associates,
Inc.
a
142,851
19,753
Mastercard,
Inc.
7,033,056
1,876
MAXIMUS,
Inc.
167,039
274
MaxLinear,
Inc.
a
9,338
92,293
Medallia,
Inc.
a
2,574,052
96,889
Microsoft
Corporation
22,843,520
31
MicroStrategy,
Inc.
a
21,043
19,266
MKS
Instruments,
Inc.
3,572,302
12,678
Monolithic
Power
Systems,
Inc.
4,477,996
2,974
Motorola
Solutions,
Inc.
559,261
36,176
National
Instruments
Corporation
1,562,261
270
NetApp,
Inc.
19,621
6,852
Nice,
Ltd.
ADR
a
1,493,530
6,451
Nova
Measuring
Instruments,
Ltd.
a
587,106
5,333
Novanta,
Inc.
a
703,369
72,260
Nuance
Communications,
Inc.
a
3,153,426
10,565
NVIDIA
Corporation
5,640,970
5,759
Okta,
Inc.
a
1,269,456
25,866
Oracle
Corporation
1,815,017
5,847
Palo
Alto
Networks,
Inc.
a
1,883,085
4,086
Paychex,
Inc.
400,510
1,707
Paylocity
Holding
Corporation
a
306,970
36,556
PayPal
Holdings,
Inc.
a
8,877,259
4,053
Plantronics,
Inc.
a
157,702
13,052
Plexus
Corporation
a
1,198,696
3,187
Plug
Power,
Inc.
a
114,222
465
Progress
Software
Corporation
20,488
10,386
Q2
Holdings,
Inc.
a
1,040,677
3,666
QAD,
Inc.
244,082
5,880
Qorvo,
Inc.
a
1,074,276
35,721
QUALCOMM,
Inc.
4,736,247
6,853
Rogers
Corporation
a
1,289,803
20,027
SailPoint
Technologies
Holdings,
Inc.
a
1,014,167
21,917
Salesforce.com,
Inc.
a
4,643,555
1,520
Samsung
Electronics
Company,
Ltd.
GDR
2,771,237
2,366
ScanSource,
Inc.
a
70,862
5,803
Semtech
Corporation
a
400,407
8,847
ServiceNow,
Inc.
a
4,424,473
47,551
Sierra
Wireless,
Inc.
a
702,328
1,141
Silicon
Laboratories,
Inc.
a
160,961
4,075
SiTime
Corporation
a
401,795
395
Solaredge
Technology,
Ltd.
a
113,539
18,145
Sprout
Social,
Inc.
a
1,048,055
24,287
Square,
Inc.
a
5,514,363
43,310
STMicroelectronics
NV
ADR
b
1,660,072
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
8
Shares
Common
Stock
(50.7%)
Value
Information
Technology
(11.2%)
-
continued
639
SunPower
Corporation
a,b
$
21,375
2,050
SYNNEX
Corporation
235,422
1,654
TE
Connectivity,
Ltd.
213,548
19,515
Texas
Instruments,
Inc.
3,688,140
964
Trade
Desk,
Inc.
a
628,200
111,524
TTM
Technologies,
Inc.
a
1,617,098
543
Tyler
Technologies,
Inc.
a
230,520
1,335
Unisys
Corporation
a
33,936
1,224
ViaSat,
Inc.
a,b
58,838
3,859
Visa,
Inc.
817,066
3,858
VMware,
Inc.
a,b
580,436
372
Western
Union
Company
9,174
30,984
Workiva,
Inc.
a
2,734,648
6,654
Xerox
Holdings
Corporation
161,493
6,639
Zscaler,
Inc.
a
1,139,717
Total
208,193,683
Materials
(1.7%)
1,389
AdvanSix,
Inc.
a
37,253
4,416
Allegheny
Technologies,
Inc.
a
93,001
3,259
AptarGroup,
Inc.
461,702
1,182
Avery
Dennison
Corporation
217,074
40,472
Axalta
Coating
Systems,
Ltd.
a
1,197,162
146
Balchem
Corporation
18,310
9,400
Ball
Corporation
796,556
2,775
Cabot
Corporation
145,521
49,601
Carpenter
Technology
Corporation
2,041,081
1,648
Celanese
Corporation
246,887
38,711
CF
Industries
Holdings,
Inc.
1,756,705
10,511
Chemours
Company
293,362
5,752
Cleveland-Cliffs,
Inc.
b
115,673
13,006
Coeur
Mining,
Inc.
a
117,444
2,097
Eagle
Materials,
Inc.
281,858
18,919
Eastman
Chemical
Company
2,083,360
3,197
Ecolab,
Inc.
684,382
96,901
Element
Solutions,
Inc.
1,772,319
8,150
Ferroglobe
Representation
&
Warranty
Insurance
Trust
a,c
1
2,176
FMC
Corporation
240,687
2,562
Ingevity
Corporation
a
193,508
16,070
Innospec,
Inc.
1,650,228
198,692
Ivanhoe
Mines,
Ltd.
a
1,022,947
7,408
Kaiser
Aluminum
Corporation
818,584
1,037
Koppers
Holdings,
Inc.
a
36,046
7,015
LyondellBasell
Industries
NV
729,911
9,090
Martin
Marietta
Materials,
Inc.
3,052,604
2,214
Materion
Corporation
146,655
3,818
Minerals
Technologies,
Inc.
287,572
6,341
Myers
Industries,
Inc.
125,298
5,491
Neenah,
Inc.
282,128
123
NewMarket
Corporation
46,760
22,659
Nucor
Corporation
1,818,838
1,521
O-I
Glass,
Inc.
a
22,419
9,113
Olin
Corporation
346,021
737
Olympic
Steel,
Inc.
21,705
103
PPG
Industries,
Inc.
15,477
9,207
Quaker
Chemical
Corporation
2,244,390
189
Reliance
Steel
&
Aluminum
Company
28,783
852
RPM
International,
Inc.
78,256
3,883
Ryerson
Holding
Corporation
a
66,166
370
Scotts
Miracle-Gro
Company
90,639
5,677
Sensient
Technologies
Corporation
442,806
19,992
Steel
Dynamics,
Inc.
1,014,794
8,556
SunCoke
Energy,
Inc.
59,977
Shares
Common
Stock
(50.7%)
Value
Materials
(1.7%)
-
continued
26,066
UFP
Technologies,
Inc.
a
$
1,298,608
12,770
United
States
Lime
&
Minerals,
Inc.
1,707,477
1,821
United
States
Steel
Corporation
47,656
25,945
W.
R.
Grace
&
Company
1,553,068
Total
31,849,659
Real
Estate
(2.4%)
28,138
Agree
Realty
Corporation
1,893,969
4,056
Alexandria
Real
Estate
Equities,
Inc.
666,401
61,328
American
Campus
Communities,
Inc.
2,647,530
759
Apartment
Income
REIT
Corporation
32,455
21,559
Apartment
Investment
&
Management
Company
132,372
2,711
Armada
Hoffler
Properties,
Inc.
33,996
4,484
AvalonBay
Communities,
Inc.
827,343
347
Bluegreen
Vacations
Holding
Corporations
a
6,433
19,858
Camden
Property
Trust
2,182,593
14,771
CareTrust
REIT,
Inc.
343,943
34,424
CBRE
Group,
Inc.
a
2,723,283
3,066
Cedar
Realty
Trust,
Inc.
45,683
736
Centerspace
50,048
16,586
Colliers
International
Group,
Inc.
1,629,409
3,131
Colony
Credit
Real
Estate,
Inc.
26,676
1,605
Community
Healthcare
Trust,
Inc.
74,023
1,442
Corepoint
Lodging,
Inc.
a
13,021
2,262
CoStar
Group,
Inc.
a
1,859,115
1,636
CubeSmart
61,890
70,267
Cushman
and
Wakefield
plc
a
1,146,757
3,971
Digital
Realty
Trust,
Inc.
559,276
2,163
Diversified
Healthcare
Trust
10,339
13,722
Douglas
Emmett,
Inc.
430,871
13,021
Duke
Realty
Corporation
545,971
3,673
EastGroup
Properties,
Inc.
526,267
7,661
EPR
Properties
356,926
36,335
Essential
Properties
Realty
Trust,
Inc.
829,528
957
Essex
Property
Trust,
Inc.
260,151
2,166
Extra
Space
Storage,
Inc.
287,103
2,323
Farmland
Partners,
Inc.
26,041
25,255
First
Industrial
Realty
Trust,
Inc.
1,156,426
7,626
FirstService
Corporation
1,130,097
27,168
Four
Corners
Property
Trust,
Inc.
744,403
795
Gaming
and
Leisure
Properties,
Inc.
33,732
3,374
Getty
Realty
Corporation
95,552
1,795
Gladstone
Commercial
Corporation
35,110
5,523
Gladstone
Land
Corporation
101,071
1,623
Global
Medical
REIT,
Inc.
21,278
20,434
Healthcare
Realty
Trust,
Inc.
619,559
21,494
Healthcare
Trust
of
America,
Inc.
592,804
770
Highwoods
Properties,
Inc.
33,064
77,250
Host
Hotels
&
Resorts,
Inc.
a
1,301,662
66,788
Independence
Realty
Trust,
Inc.
1,015,178
8,254
Industrial
Logistics
Properties
Trust
190,915
3,557
Innovative
Industrial
Properties,
Inc.
640,829
741
Iron
Mountain,
Inc.
27,424
3,087
Jones
Lang
LaSalle,
Inc.
a
552,696
19,432
Kilroy
Realty
Corporation
1,275,322
3,356
Lexington
Realty
Trust
37,285
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
9
Shares
Common
Stock
(50.7%)
Value
Real
Estate
(2.4%)
-
continued
5,772
Life
Storage,
Inc.
$
496,103
24,434
Medical
Properties
Trust,
Inc.
519,956
38,659
MGIC
Investment
Corporation
535,427
466
National
Health
Investors,
Inc.
33,682
13,299
National
Retail
Properties,
Inc.
586,087
52,916
National
Storage
Affiliates
Trust
2,112,936
32,212
New
Residential
Investment
Corporation
362,385
3,598
New
Senior
Investment
Group,
Inc.
22,416
11,476
NexPoint
Residential
Trust,
Inc.
528,929
6,801
Omega
Healthcare
Investors,
Inc.
249,121
2,287
One
Liberty
Properties,
Inc.
50,931
508
Plymouth
Industrial
REIT,
Inc.
8,560
3,368
Preferred
Apartment
Communities,
Inc.
33,175
3,540
Public
Storage,
Inc.
873,530
19,080
Rayonier,
Inc.
REIT
615,330
9,821
Realty
Income
Corporation
623,633
1,558
Redfin
Corporation
a
103,747
36,870
Rexford
Industrial
Realty,
Inc.
1,858,248
246
RMR
Group,
Inc.
10,039
18,502
Sabra
Health
Care
REIT,
Inc.
321,195
4,252
SBA
Communications
Corporation
1,180,143
60,600
Service
Properties
Trust
718,716
3,422
SL
Green
Realty
Corporation
239,506
6,062
Spirit
Realty
Capital,
Inc.
257,635
8,559
STAG
Industrial,
Inc.
287,668
5,862
Store
Capital
Corporation
196,377
128,535
Sunstone
Hotel
Investors,
Inc.
a
1,601,546
10,903
UDR,
Inc.
478,206
1,485
UMH
Properties,
Inc.
28,467
23
Universal
Health
Realty
Income
Trust
1,559
2,142
WP
Carey,
Inc.
151,568
Total
44,920,641
Utilities
(0.8%)
9,229
AES
Corporation
247,429
2,489
ALLETE,
Inc.
167,236
18,829
Alliant
Energy
Corporation
1,019,779
7,601
American
Electric
Power
Company,
Inc.
643,805
1,316
American
States
Water
Company
99,516
2,346
Artesian
Resources
Corporation
92,385
3,694
Black
Hills
Corporation
246,648
31,898
CenterPoint
Energy,
Inc.
722,490
289
Chesapeake
Utilities
Corporation
33,547
1,994
Consolidated
Water
Company,
Ltd.
26,819
1,827
DTE
Energy
Company
243,247
16,380
Duke
Energy
Corporation
1,581,161
21,250
Entergy
Corporation
2,113,737
1,199
Essential
Utilities,
Inc.
53,655
3,999
Evergy,
Inc.
238,060
23,498
Exelon
Corporation
1,027,803
36,245
FirstEnergy
Corporation
1,257,339
2,156
Hawaiian
Electric
Industries,
Inc.
95,791
711
IDACORP,
Inc.
71,079
2,732
MDU
Resources
Group,
Inc.
86,359
1,395
National
Fuel
Gas
Company
69,736
2,343
New
Jersey
Resources
Corporation
93,415
174
NiSource,
Inc.
4,195
1,248
Northwest
Natural
Holding
Company
67,330
Shares
Common
Stock
(50.7%)
Value
Utilities
(0.8%)
-
continued
12,263
NorthWestern
Corporation
$
799,548
18,236
OGE
Energy
Corporation
590,117
1,250
Otter
Tail
Corporation
57,713
376
Pinnacle
West
Capital
Corporation
30,588
21,715
Portland
General
Electric
Company
1,030,811
737
PPL
Corporation
21,255
3,204
Sempra
Energy
424,786
2,226
Southwest
Gas
Holdings,
Inc.
152,948
16,402
Spire,
Inc.
1,211,944
11,236
UGI
Corporation
460,788
1,172
Unitil
Corporation
53,549
3,040
WEC
Energy
Group,
Inc.
284,514
Total
15,421,122
Total
Common
Stock
(cost
$631,969,473)
939,698,527
Shares
Registered
Investment
Companies
(
38.0%
)
Value
Unaffiliated  (0.5%)
3,661
ProShares
Ultra
S&P
500
b
374,557
257
ProShares
UltraPro
QQQ
23,453
21,130
SPDR
S&P
500
ETF
Trust
8,374,453
5,726
SPDR
S&P
Oil
&
Gas
Exploration
ETF
b
465,753
Total
9,238,216
Affiliated  (37.5%)
4,821,872
Thrivent
Core
Emerging
Markets
Equity
Fund
59,164,369
5,201,410
Thrivent
Core
International
Equity
Fund
52,846,326
5,326,790
Thrivent
Core
Low
Volatility
Equity
Fund
69,248,275
4,700,959
Thrivent
Global
Stock
Portfolio
70,064,976
2,232,622
Thrivent
High
Yield
Portfolio
10,335,030
546,539
Thrivent
Income
Portfolio
5,972,741
13,123,673
Thrivent
International
Allocation
Portfolio
138,603,050
842,958
Thrivent
International
Index
Portfolio
11,023,871
3,884,006
Thrivent
Large
Cap
Value
Portfolio
84,645,689
1,033,388
Thrivent
Limited
Maturity
Bond
Portfolio
10,394,853
4,586,424
Thrivent
Mid
Cap
Stock
Portfolio
114,001,995
2,946,745
Thrivent
Small
Cap
Stock
Portfolio
70,418,957
Total
696,720,132
Total
Registered
Investment
Companies
(cost
$548,411,659)
705,958,348
Principal
Amount
Long-Term
Fixed
Income
(
3.3%
)
Value
Asset-Backed
Securities
(<0.1%)
Cent
CLO,
LP
$
25,000
2.518%, 
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
d,e
25,004
MRA
Issuance
Trust
125,000
1.456%, 
(LIBOR
1M
+
1.350%),
7/15/2021,
Ser.
2020-12,
Class
A1X
d,e
125,023
Total
150,027
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
10
Principal
Amount
Long-Term
Fixed
Income
(3.3%)
Value
Collateralized
Mortgage
Obligations
(<0.1%)
MASTR
Alternative
Loans
Trust
$
16,997
0.559%, 
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
e
$
2,502
Sequoia
Mortgage
Trust
42,867
3.114%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
e
33,363
WaMu
Mortgage
Pass
Through
Certificates
20,821
3.017%, 
9/25/2036,
Ser.
2006-AR10,
Class
1A2
e
20,281
31,210
3.035%, 
10/25/2036,
Ser.
2006-AR12,
Class
1A1
e
31,286
Total
87,432
Mortgage-Backed
Securities
(1.4%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
947,769
3.000%, 
3/25/2050
989,164
347,779
3.000%, 
4/1/2050
363,198
293,906
3.500%, 
7/1/2047
312,011
Federal
National
Mortgage
Association
313,125
4.500%, 
5/1/2048
341,778
454,592
3.500%, 
10/1/2048
480,153
183,923
3.500%, 
6/1/2049
194,676
518,703
3.500%, 
8/1/2049
548,928
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
1,748,000
1.500%, 
4/1/2036
f
1,755,892
2,000,000
2.000%, 
4/1/2036
f
2,052,545
1,500,000
2.500%, 
4/1/2036
f
1,560,644
4,242,000
2.000%, 
5/1/2036
f
4,348,102
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,050,000
2.000%, 
4/1/2051
f,g
2,046,156
4,400,000
2.500%, 
4/1/2051
f
4,515,156
3,225,000
2.000%, 
5/1/2051
f,g
3,213,032
2,100,000
2.500%, 
5/1/2051
f
2,150,449
880,055
4.000%, 
7/1/2048
944,582
Total
25,816,466
U.S.
Government
&
Agencies
(1.9%)
U.S.
Treasury
Bonds
1,880,000
1.625%, 
11/15/2050
1,566,569
920,000
2.250%, 
11/15/2027
973,870
5,000,000
2.875%, 
5/15/2028
5,496,289
170,000
5.250%, 
11/15/2028
216,445
125,000
0.875%, 
11/15/2030
115,605
90,000
1.125%, 
2/15/2031
85,036
3,030,000
1.375%, 
11/15/2040
2,577,394
120,000
3.000%, 
5/15/2042
134,011
2,413,000
2.500%, 
5/15/2046
2,458,998
U.S.
Treasury
Notes
8,300,000
0.125%, 
12/31/2022
8,296,434
100,000
0.125%, 
10/15/2023
99,672
500,000
2.125%, 
7/31/2024
527,754
2,330,000
2.250%, 
11/15/2024
2,472,621
2,040,000
2.125%, 
11/30/2024
2,156,423
640,000
2.625%, 
1/31/2026
692,850
6,630,000
2.500%, 
2/28/2026
7,138,904
Principal
Amount
Long-Term
Fixed
Income
(3.3%)
Value
U.S.
Government
&
Agencies
(1.9%)
-
continued
$
300,000
0.750%, 
1/31/2028
$
287,625
Total
35,296,500
Total
Long-Term
Fixed
Income
(cost
$60,435,916)
61,350,425
Shares
Collateral
Held
for
Securities
Loaned
(
0.7%
)
Value
12,337,300
Thrivent
Cash
Management
Trust
12,337,300
Total
Collateral
Held
for
Securities
Loaned
(cost
$12,337,300)
12,337,300
Shares
or
Principal
Amount
Short-Term
Investments
(
9.2%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
4,000,000
0.085%,
4/7/2021
h,i
4,000,000
4,000,000
0.085%,
4/8/2021
h,i
4,000,000
2,100,000
0.061%,
4/14/2021
h,i
2,100,000
1,900,000
0.002%,
4/28/2021
h,i
1,900,000
5,900,000
0.040%,
5/4/2021
h,i
5,899,946
200,000
0.030%,
5/18/2021
h,i
199,998
800,000
0.020%,
6/16/2021
h,i
799,966
5,800,000
3.000%,
7/7/2021
h,i
5,799,531
Thrivent
Core
Short-Term
Reserve
Fund
14,551,607
0.180%
145,516,073
Total
Short-Term
Investments
(cost
$170,134,033)
170,215,514
Contracts
Options
Purchased
(
<0.1%
)
Value
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
17
$132.50,
expires
5/21/2021
32,937
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
17
$160.00,
expires
5/21/2021
99,875
Total
Options
Purchased
(cost
$65,969)
132,812
Total
Investments
(cost
$1,423,354,350)
101.9%
$1,889,692,926
Other
Assets
and
Liabilities,
Net
(1.9%)
(35,409,037)
Total
Net
Assets
100.0%
$1,854,283,889
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
11
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
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
March
31,
2021,
the
value
of
these
investments
was
$150,027
or
0.0%
of
total
net
assets.
e
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
March
31,
2021.
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.  
f
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
g
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
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
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
12,257,305
Total
lending
$12,257,305
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$12,337,300
Net
amounts
due
to
counterparty
$79,995
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
FNMA
-
Federal
National
Mortgage
Association
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.
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
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
12
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
60,821,124
60,821,124
Consumer
Discretionary
129,492,841
129,492,841
Consumer
Staples
26,817,282
26,817,282
Energy
19,606,769
19,606,769
Financials
137,102,103
134,634,148
2,466,970
985
Health
Care
128,637,552
128,637,552
Industrials
136,835,751
134,723,158
2,112,593
Information
Technology
208,193,683
205,422,446
2,771,237
Materials
31,849,659
30,826,711
1,022,947
1
Real
Estate
44,920,641
44,920,641
Utilities
15,421,122
15,421,122
Registered
Investment
Companies
Unaffiliated
9,238,216
9,238,216
Affiliated
515,461,162
515,461,162
Long-Term
Fixed
Income
Asset-Backed
Securities
150,027
150,027
Collateralized
Mortgage
Obligations
87,432
87,432
Mortgage-Backed
Securities
25,816,466
25,816,466
U.S.
Government
&
Agencies
35,296,500
35,296,500
Short-Term
Investments
24,699,441
24,699,441
Options
Purchased
132,812
132,812
Subtotal
Investments
in
Securities
$1,550,580,583
$1,456,155,984
$94,423,613
$986
Other
Investments  *
Total
Affiliated
Short-Term
Investments
145,516,073
Affiliated
Registered
Investment
Companies
181,258,970
Collateral
Held
for
Securities
Loaned
12,337,300
Subtotal
Other
Investments
$339,112,343
Total
Investments
at
Value
$1,889,692,926
*
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
13,329,324
13,329,324
Total
Asset
Derivatives
$13,329,324
$13,329,324
$–
$–
Liability
Derivatives
Futures
Contracts
994,995
994,995
Call
Options
Written
45,142
43,031
2,111
Total
Liability
Derivatives
$1,040,137
$1,038,026
$–
$2,111
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
13
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
Counterparty:
CCM
-
CCM
Futures,
LLC
JPM
-
J.P.
Morgan
MSC
-
Morgan
Stanley
&
Company
The
following
table
presents
Aggressive
Allocation
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$24,847,941
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
61
June
2021
$
8,220,423
(
$
233,235)
CME
E-mini
S&P
500
Index
1,536
June
2021
299,938,990
4,757,330
CME
Euro
Foreign
Exchange
Currency
228
June
2021
33,879,050
(
414,351)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
12
June
2021
2,284,431
(
109,806)
Eurex
Euro
STOXX
50
Index
742
June
2021
32,865,318
826,754
ICE
mini
MSCI
EAFE
Index
686
June
2021
75,282,816
(
97,216)
ICE
US
mini
MSCI
Emerging
Markets
Index
269
June
2021
17,928,012
(
140,387)
Total
Futures
Long
Contracts
$
470,399,040
$
4,589,089
CBOT
2-Yr.
U.S.
Treasury
Note
(13)
June
2021
(
$
2,872,161)
$
2,716
CBOT
5-Yr.
U.S.
Treasury
Note
(41)
June
2021
(
5,120,708)
61,372
CBOT
U.S.
Long
Bond
(3)
June
2021
(
488,850)
25,068
CME
E-mini
Russell
2000
Index
(789)
June
2021
(
92,439,431)
4,761,806
CME
E-mini
S&P
Mid-Cap
400
Index
(735)
June
2021
(
194,357,009)
2,867,458
Ultra
10-Yr.
U.S.
Treasury
Note
(5)
June
2021
(
745,257)
26,820
Total
Futures
Short
Contracts
(
$
296,023,416)
$7,745,240
Total
Futures
Contracts
$
174,375,624
$12,334,329
The
following
table
presents
Aggressive
Allocation
Portfolio's
options
contracts
held
as
of
March
31,
2021.
Option
_
Description                              
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
17.00
$
132.50
May
2021
2,225,937
$
32,937
$
14,832
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
17.00
160.00
May
2021
2,628,094
99,875
52,011
Total
Options
Purchased
Contracts
$132,812
$66,843
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(1.00)
$
102.72
April
2021
(998,125)
(
$
1)
$
5,468
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(1.00)
100.83
May
2021
(996,289)
(
2,110)
3,788
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
(17.00)
130.50
May
2021
(2,225,937)
(
14,609)
(
5,621)
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
(17.00)
153.00
May
2021
(2,628,094)
(
28,422)
(
12,536)
Total
Options
Written
Contracts
($45,142)
($8,900)
(*)  Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
14
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$56,850
$–
$–
$59,164
4,822
3.2%
Core
International
Equity
56,481
5,600
52,846
5,201
2.8
Core
Low
Volatility
Equity
101,212
34,000
69,248
5,327
3.7
Global
Stock
66,525
70,065
4,701
3.8
High
Yield
10,300
118
10,335
2,233
0.5
Income
6,210
43
5,973
547
0.3
International
Allocation
132,993
138,603
13,124
7.5
International
Index
10,668
11,024
843
0.6
Large
Cap
Value
74,500
84,646
3,884
4.6
Limited
Maturity
Bond
10,400
42
10,395
1,033
0.6
Mid
Cap
Stock
104,051
114,002
4,586
6.1
Small
Cap
Stock
61,665
70,419
2,947
3.8
Total
Affiliated
Registered
Investment
Companies
691,855
696,720
37.5
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
102,777
187,020
144,281
145,516
14,552
7.9
Total
Affiliated
Short-Term
Investments
102,777
145,516
7.9
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
18,861
63,583
70,107
12,337
12,337
0.7
Total
Collateral
Held
for
Securities
Loaned
18,861
12,337
0.7
Total
Value
$813,493
$854,573
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$–
$2,314
$–
Core
International
Equity
11
1,954
Core
Low
Volatility
Equity
1,208
828
Global
Stock
3,540
High
Yield
(83)
119
Income
(280)
43
International
Allocation
5,610
International
Index
356
Large
Cap
Value
10,146
Limited
Maturity
Bond
(47)
42
Mid
Cap
Stock
9,951
Small
Cap
Stock
8,754
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
53
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$256
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
12
Total
Affiliated
Income
from
Securities
Loaned,
Net
$12
Total
Value
$1,219
$43,043
$–
All
Cap
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
15
Shares
Common
Stock
(
96.1%
)
Value
Communications
Services
(4.4%)
28,700
Comcast
Corporation
$
1,552,957
12,490
Facebook,
Inc.
a
3,678,680
21,250
QuinStreet
,
Inc.
a
431,375
16,840
Verizon
Communications,
Inc.
979,246
Total
6,642,258
Consumer
Discretionary
(14.0%)
1,555
Amazon.com,
Inc.
a
4,811,294
10,700
Aptiv
plc
a
1,475,530
1,140
AutoZone,
Inc.
a
1,600,902
630
Booking
Holdings,
Inc.
a
1,467,799
3,800
Burlington
Stores,
Inc.
a
1,135,440
8,500
Canada
Goose
Holdings,
Inc.
a,b
333,625
800
Chipotle
Mexican
Grill,
Inc.
a
1,136,656
10,660
Dollar
Tree,
Inc.
a
1,220,144
2,210
Domino's
Pizza,
Inc.
812,816
6,930
Home
Depot,
Inc.
2,115,383
2,940
Lear
Corporation
532,875
2,470
Netflix,
Inc.
a
1,288,500
220
NVR,
Inc.
a
1,036,405
15,830
Sony
Corporation
ADR
1,678,138
3,753
Wingstop
,
Inc.
477,269
Total
21,122,776
Consumer
Staples
(4.0%)
4,110
Casey's
General
Stores,
Inc.
888,541
3,150
Costco
Wholesale
Corporation
1,110,312
18,420
Philip
Morris
International,
Inc.
1,634,591
18,610
Sysco
Corporation
1,465,352
16,220
Turning
Point
Brands,
Inc.
846,197
Total
5,944,993
Energy
(2.5%)
21,680
BP
plc
ADR
527,908
37,368
Devon
Energy
Corporation
816,491
17,610
Helmerich
&
Payne,
Inc.
474,765
7,400
Pioneer
Natural
Resources
Company
1,175,268
10,480
Valero
Energy
Corporation
750,368
Total
3,744,800
Financials
(14.3%)
19,900
Ally
Financial,
Inc.
899,679
5,940
American
Express
Company
840,154
4,300
Ameriprise
Financial,
Inc.
999,535
26,130
Arch
Capital
Group,
Ltd.
a
1,002,608
54,820
Bank
of
America
Corporation
2,120,986
8,360
Chubb,
Ltd.
1,320,629
27,570
Equitable
Holdings,
Inc.
899,333
15,450
Essent
Group,
Ltd.
733,721
62,221
Everi
Holdings,
Inc.
a
877,938
6,270
First
Republic
Bank
1,045,522
14,850
J.P.
Morgan
Chase
&
Company
2,260,615
6,460
James
River
Group
Holdings,
Ltd.
294,705
3,990
Kinsale
Capital
Group,
Inc.
657,552
19,770
Morgan
Stanley
1,535,338
2,950
S&P
Global,
Inc.
1,040,967
2,130
SVB
Financial
Group
a
1,051,496
9,800
Torchmark
Corporation
946,974
13,650
Western
Alliance
Bancorp
1,289,106
17,730
Zions
Bancorporations
NA
974,441
1,660
Zurich
Insurance
Group
AG
706,582
Total
21,497,881
Shares
Common
Stock
(96.1%)
Value
Health
Care
(11.9%)
9,020
Abbott
Laboratories
$
1,080,957
9,430
AbbVie,
Inc.
1,020,515
14,580
ACADIA
Pharmaceuticals,
Inc.
a
376,164
3,360
Anthem,
Inc.
1,206,072
5,370
Catalent
,
Inc.
a
565,515
10,560
Cigna
Holding
Company
2,552,774
2,240
Dexcom
,
Inc.
a
805,034
14,620
Edwards
Lifesciences
Corporation
a
1,222,817
3,470
Guardant
Health,
Inc.
a
529,695
12,770
Johnson
&
Johnson
2,098,749
3,550
LHC
Group,
Inc.
a
678,795
19,760
Medtronic
plc
2,334,249
25,160
Merck
&
Company,
Inc.
1,939,584
8,620
Silk
Road
Medical,
Inc.
a
436,603
11,750
Syneos
Health,
Inc.
a
891,238
4,530
Zymeworks
,
Inc.
a
143,057
Total
17,881,818
Industrials
(11.0%)
14,280
Altra
Industrial
Motion
Corporation
789,970
4,010
Carlisle
Companies,
Inc.
659,966
7,340
Crane
Company
689,299
11,040
Delta
Air
Lines,
Inc.
a
533,011
4,940
Honeywell
International,
Inc.
1,072,326
25,500
Howmet
Aerospace,
Inc.
a
819,315
10,370
Kansas
City
Southern
2,736,850
20,770
Meritor,
Inc.
a
611,053
5,910
Parker-Hannifin
Corporation
1,864,191
14,090
Raven
Industries,
Inc.
540,070
5,740
Regal-Beloit
Corporation
818,983
15,770
Ritchie
Brothers
Auctioneers,
Inc.
923,334
23,900
Summit
Materials,
Inc.
a
669,678
8,340
Timken
Company
676,958
8,660
United
Parcel
Service,
Inc.
1,472,113
2,470
Valmont
Industries,
Inc.
587,045
6,230
Waste
Connections,
Inc.
672,715
12,050
Willdan
Group,
Inc.
a
494,653
Total
16,631,530
Information
Technology
(23.1%)
4,010
Adobe,
Inc.
a
1,906,234
6,110
Advanced
Energy
Industries,
Inc.
667,029
4,890
Akamai
Technologies,
Inc.
a
498,291
1,320
ANSYS,
Inc.
a
448,219
36,390
Apple,
Inc.
4,445,038
3,620
ASML
Holding
NV
GDR
2,234,843
6,160
Atlassian
Corporation
plc
a
1,298,282
4,810
Blackline,
Inc.
a,b
521,404
10,290
Ciena
Corporation
a
563,069
22,330
Cisco
Systems,
Inc.
1,154,684
9,400
Dolby
Laboratories,
Inc.
927,968
3,240
Euronet
Worldwide,
Inc.
a
448,092
5,050
F5
Networks,
Inc.
a
1,053,531
5,780
Five9,
Inc.
a
903,587
25,920
Juniper
Networks,
Inc.
656,554
16,000
Lattice
Semiconductor
Corporation
a
720,320
5,070
Mastercard
,
Inc.
1,805,174
4,030
Microsoft
Corporation
950,153
16,560
National
Instruments
Corporation
715,144
21,860
Nuance
Communications,
Inc.
a
953,970
3,560
NVIDIA
Corporation
1,900,791
9,790
PayPal
Holdings,
Inc.
a
2,377,404
5,640
ServiceNow
,
Inc.
a
2,820,620
1,260
Shopify
Inc.
a
1,394,190
All
Cap
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
16
Shares
Common
Stock
(96.1%)
Value
Information
Technology
(23.1%)
-
continued
24,180
Snap,
Inc.
a
$
1,264,372
4,715
Snowflake,
Inc.
a
1,081,055
4,760
Square,
Inc.
a
1,080,758
Total
34,790,776
Materials
(4.4%)
53,420
Axalta
Coating
Systems,
Ltd.
a
1,580,164
5,210
Ball
Corporation
441,496
14,910
Berry
Plastics
Group,
Inc.
a
915,474
20,290
CF
Industries
Holdings,
Inc.
920,760
18,460
Element
Solutions,
Inc.
337,633
17,760
LyondellBasell
Industries
NV
1,847,928
12,240
Steel
Dynamics,
Inc.
621,302
Total
6,664,757
Real
Estate
(3.6%)
7,550
Agree
Realty
Corporation
508,190
4,480
Alexandria
Real
Estate
Equities,
Inc.
736,064
3,360
American
Tower
Corporation
803,242
7,520
Camden
Property
Trust
826,523
19,510
Duke
Realty
Corporation
818,054
840
Equinix
,
Inc.
570,856
5,180
Prologis,
Inc.
549,080
8,550
QTS
Realty
Trust,
Inc.
530,442
Total
5,342,451
Utilities
(2.9%)
28,260
CenterPoint
Energy,
Inc.
640,089
10,600
Duke
Energy
Corporation
1,023,218
5,000
Entergy
Corporation
497,350
9,340
Evergy
,
Inc.
556,010
15,844
NextEra
Energy,
Inc.
1,197,965
7,830
NorthWestern
Corporation
510,516
Total
4,425,148
Total
Common
Stock
(cost
$106,169,761)
144,689,188
Shares
Collateral
Held
for
Securities
Loaned
(
0.5%
)
Value
798,225
Thrivent
Cash
Management
Trust
798,225
Total
Collateral
Held
for
Securities
Loaned
(cost
$798,225)
798,225
Shares
Registered
Investment
Companies
(
0.4%
)
Value
Unaffiliated  (0.4%)
7,740
SPDR
S&P
Homebuilders
ETF
544,664
Total
544,664
Total
Registered
Investment
Companies
(cost
$314,103)
544,664
Shares
Short-Term
Investments
(
3.5%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
520,355
0.180%
$
5,203,550
Total
Short-Term
Investments
(cost
$5,202,819)
5,203,550
Total
Investments
(cost
$112,484,908)
100.5%
$151,235,627
Other
Assets
and
Liabilities,
Net
(0.5%)
(698,649)
Total
Net
Assets
100.0%
$150,536,978
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
All
Cap
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
793,950
Total
lending
$793,950
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$798,225
Net
amounts
due
to
counterparty
$4,275
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.
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.
All
Cap
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
17
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
6,642,258
6,642,258
Consumer
Discretionary
21,122,776
21,122,776
Consumer
Staples
5,944,993
5,944,993
Energy
3,744,800
3,744,800
Financials
21,497,881
20,791,299
706,582
Health
Care
17,881,818
17,881,818
Industrials
16,631,530
16,631,530
Information
Technology
34,790,776
34,790,776
Materials
6,664,757
6,664,757
Real
Estate
5,342,451
5,342,451
Utilities
4,425,148
4,425,148
Registered
Investment
Companies
Unaffiliated
544,664
544,664
Subtotal
Investments
in
Securities
$145,233,852
$144,527,270
$706,582
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
5,203,550
Collateral
Held
for
Securities
Loaned
798,225
Subtotal
Other
Investments
$6,001,775
Total
Investments
at
Value
$151,235,627
*
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.  
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$2,660
$4,836
$2,292
$5,204
520
3.5%
Total
Affiliated
Short-Term
Investments
2,660
5,204
3.5
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
105
3,234
2,541
798
798
0.5
Total
Collateral
Held
for
Securities
Loaned
105
798
0.5
Total
Value
$2,765
$6,002
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$0
$0
$2
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$2
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$0
$0
$–
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
18
Principal
Amount
Bank
Loans
(
10.7%
)
a
Value
Basic
Materials
(0.8%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
204,225
4.690%, 
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
202,914
Hexion,
Inc.,
Term
Loan
344,914
3.740%, 
(LIBOR
3M
+
3.500%),
7/1/2026
b
344,700
INEOS
US
Petrochem,
LLC,
Term
Loan
530,000
3.250%, 
(LIBOR
3M
+
2.750%),
1/29/2026
b
528,012
Innophos
Holdings,
Inc.,
Term
Loan
346,500
3.609%, 
(LIBOR
1M
+
3.500%),
2/7/2027
b
345,201
Momentive
Performance
Materials
USA,
LLC,
Term
Loan
331,102
3.360%, 
(LIBOR
1M
+
3.250%),
5/15/2024
b
325,308
Nouryon
USA,
LLC,
Term
Loan
860,916
2.860%, 
(LIBOR
1M
+
2.750%),
10/1/2025
b
847,107
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
604,398
7.500%, 
(LIBOR
1M
+
6.500%),
10/31/2024
b
603,770
Venator
Finance
SARL,
Term
Loan
413,928
3.109%, 
(LIBOR
1M
+
3.000%),
8/8/2024
b
407,893
Total
3,604,905
Capital
Goods
(1.2%)
Flex
Acquisition
Company,
Inc.,
Term
Loan
694,895
3.238%, 
(LIBOR
3M
+
3.250%),
6/29/2025
b
682,735
Gemini
HDPE,
LLC,
Term
Loan
520,000
3.500%, 
(LIBOR
3M
+
3.000%),
12/31/2027
b
517,078
GFL
Environmental,
Inc.,
Term
Loan
533,663
3.500%, 
(LIBOR
1M
+
3.000%),
5/31/2025
b
533,663
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
496,158
3.443%, 
(LIBOR
3M
+
3.250%),
4/3/2024
b
484,994
Natgasoline,
LLC,
Term
Loan
425,212
3.625%, 
(LIBOR
1M
+
3.500%),
11/14/2025
b,c
420,960
Navistar,
Inc.,
Term
Loan
751,750
3.620%, 
(LIBOR
1M
+
3.500%),
11/6/2024
b
751,562
Pactiv
Evergreen
Group
Holdings,
Inc.,
Term
Loan
122,630
2.859%, 
(LIBOR
1M
+
2.750%),
2/5/2023
b
122,036
448,875
3.359%, 
(LIBOR
1M
+
3.250%),
2/5/2026
b
443,489
TransDigm,
Inc.,
Term
Loan
1,214,625
2.359%, 
(LIBOR
1M
+
2.250%),
12/9/2025
b
1,188,304
Principal
Amount
Bank
Loans
(10.7%)
a
Value
Capital
Goods
(1.2%)
-
continued
TricorBraun
Holdings,
Inc.,
Delayed
Draw
$
113,849
0.000%, 
(LIBOR
1M
+
3.250%),
3/3/2028
b,d,e
$
112,662
TricorBraun
Holdings,
Inc.,
Term
Loan
506,152
0.000%, 
(LIBOR
3M
+
3.250%),
3/3/2028
b,d,e
500,878
Total
5,758,361
Communications
Services
(2.6%)
Altice
France
SA,
Term
Loan
336,875
2.859%, 
(LIBOR
1M
+
2.750%),
7/31/2025
b
329,956
Cablevision
Lightpath,
LLC,
Term
Loan
518,700
3.750%, 
(LIBOR
1M
+
3.250%),
12/1/2027
b
517,403
CCI
Buyer,
Inc.,
Term
Loan
135,000
4.750%, 
(LIBOR
3M
+
4.000%),
12/17/2027
b
135,127
CommScope,
Inc.,
Term
Loan
901,275
3.359%, 
(LIBOR
1M
+
3.250%),
4/4/2026
b
894,560
CSC
Holdings,
LLC,
Term
Loan
370,812
2.356%, 
(LIBOR
1M
+
2.250%),
7/17/2025
b,d,e
365,328
Diamond
Sports
Group,
LLC,
Term
Loan
515,349
3.360%, 
(LIBOR
1M
+
3.250%),
8/24/2026
b
351,726
E.W.
Scripps
Company,
Term
Loan
244,387
3.750%, 
(LIBOR
1M
+
3.000%),
1/7/2028
b
243,280
Eagle
Broadband
Investments,
LLC,
Term
Loan
862,837
3.750%, 
(LIBOR
3M
+
3.000%),
11/12/2027
b
859,964
Entercom
Media
Corporation,
Term
Loan
465,954
2.609%, 
(LIBOR
1M
+
2.500%),
11/17/2024
b
455,120
GCI,
LLC,
Term
Loan
661,276
3.500%, 
(LIBOR
1M
+
2.750%),
10/15/2025
b,d,e
657,421
HCP
Acquisition,
LLC,
Term
Loan
684,443
3.750%, 
(LIBOR
1M
+
2.750%),
5/16/2024
b
682,937
iHeartCommunications,
Inc.,
Term
Loan
400,940
3.109%, 
(LIBOR
1M
+
3.000%),
5/1/2026
b
395,740
Intermediate
Dutch
Holdings,
Term
Loan
305,000
0.000%, 
(LIBOR
1M
+
4.000%),
3/5/2028
b,d,e
303,627
Lumen
Technologies,
Inc.,
Term
Loan
424,008
2.359%, 
(LIBOR
1M
+
2.250%),
3/15/2027
b,d,e
419,051
Meredith
Corporation,
Term
Loan
447,744
5.250%, 
(LIBOR
3M
+
4.250%),
1/31/2025
b
453,995
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
19
Principal
Amount
Bank
Loans
(10.7%)
a
Value
Communications
Services
(2.6%)
-
continued
NEP
Group,
Inc.,
Term
Loan
$
703,800
3.359%, 
(LIBOR
1M
+
3.250%),
10/20/2025
b
$
681,412
Nexstar
Broadcasting,
Inc.,
Term
Loan
772,374
2.615%, 
(LIBOR
1M
+
2.500%),
9/19/2026
b
765,909
Nielsen
Finance,
LLC,
Term
Loan
219,110
4.750%, 
(LIBOR
1M
+
3.750%),
6/4/2025
b
219,487
Radiate
Holdco,
LLC,
Term
Loan
1,231,912
4.250%, 
(LIBOR
1M
+
3.500%),
9/25/2026
b
1,230,656
Terrier
Media
Buyer,
Inc.,
Term
Loan
304,238
3.609%, 
(LIBOR
1M
+
3.500%),
12/17/2026
b
301,238
TNS,
Inc.,
Term
Loan
274,037
4.110%, 
(LIBOR
1M
+
4.000%),
8/14/2022
b
272,552
WideOpenWest
Finance,
LLC,
Term
Loan
651,197
4.250%, 
(LIBOR
1M
+
3.250%),
8/19/2023
b
648,878
Xplornet
Communications,
Inc.,
Term
Loan
536,783
4.859%, 
(LIBOR
1M
+
4.750%),
6/10/2027
b
536,365
Ziggo
Financing
Partnership,
Term
Loan
320,000
2.606%, 
(LIBOR
1M
+
2.500%),
4/30/2028
b,d,e
316,509
Total
12,038,241
Consumer
Cyclical
(1.8%)
1011778
B.C.,
LLC,
Term
Loan
815,862
1.859%, 
(LIBOR
1M
+
1.750%),
11/19/2026
b,d,e
800,312
Caesars
Resort
Collection,
LLC,
Term
Loan
691,525
4.609%, 
(LIBOR
1M
+
4.500%),
7/20/2025
b
692,389
Carnival
Corporation,
Term
Loan
348,246
8.500%, 
(LIBOR
1M
+
7.500%),
6/30/2025
b
358,693
Cengage
Learning,
Inc.,
Term
Loan
340,592
5.250%, 
(LIBOR
3M
+
4.250%),
6/7/2023
b
336,549
City
Brewing
Company,
LLC,
Term
Loan
75,000
0.000%, 
(LIBOR
1M
+
3.500%),
4/1/2028
b,d,e
74,625
CP
Atlas
Buyer,
Inc.,
Term
Loan
410,000
4.250%, 
(LIBOR
2M
+
3.750%),
11/23/2027
b
406,990
Golden
Entertainment,
Inc.,
Term
Loan
1,037,550
3.750%, 
(LIBOR
1M
+
3.000%),
10/20/2024
b
1,021,987
Golden
Nugget,
LLC,
Term
Loan
514,108
3.250%, 
(LIBOR
2M
+
2.500%),
10/4/2023
b
505,497
Principal
Amount
Bank
Loans
(10.7%)
a
Value
Consumer
Cyclical
(1.8%)
-
continued
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
$
673,312
3.750%, 
(LIBOR
1M
+
3.000%),
10/19/2027
b
$
672,087
LCPR
Loan
Financing,
LLC,
Term
Loan
315,000
0.000%, 
(LIBOR
3M
+
3.750%),
10/23/2026
b,d,e
315,394
Michaels
Stores,
Inc.,
Term
Loan
492,525
4.250%, 
(LIBOR
1M
+
3.500%),
10/1/2027
b
491,786
Scientific
Games
International,
Inc.,
Term
Loan
1,796,333
2.859%, 
(LIBOR
1M
+
2.750%),
8/14/2024
b
1,760,280
Staples,
Inc.,
Term
Loan
191,091
4.705%, 
(LIBOR
3M
+
4.500%),
9/12/2024
b
187,667
322,693
5.205%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
314,358
Tenneco,
Inc.,
Term
Loan
258,677
3.109%, 
(LIBOR
1M
+
3.000%),
10/1/2025
b
251,628
Truck
Hero,
Inc.,
Term
Loan
115,000
4.500%, 
(LIBOR
1M
+
3.750%),
2/24/2028
b
114,633
Total
8,304,875
Consumer
Non-Cyclical
(1.7%)
Adient
US,
LLC,
Term
Loan
208,937
4.380%, 
(LIBOR
1M
+
4.250%),
5/6/2024
b
208,676
Bausch
Health
Americas,
Inc.,
Term
Loan
1,007,084
3.109%, 
(LIBOR
1M
+
3.000%),
6/1/2025
b
1,003,267
Chobani,
LLC,
Term
Loan
268,650
4.500%, 
(LIBOR
1M
+
3.500%),
10/23/2027
b
268,247
CNT
Holdings
I
Corporation,
Term
Loan
350,000
4.500%, 
(LIBOR
3M
+
3.750%),
11/8/2027
b
349,016
95,000
7.500%, 
(LIBOR
3M
+
6.750%),
11/6/2028
b,c
95,950
Dole
Food
Company,
Inc.,
Term
Loan
403,859
3.754%, 
(LIBOR
1M
+
2.750%),
4/6/2024
b
403,467
Endo
Luxembourg
Finance
Company,
Term
Loan
235,000
0.000%, 
(LIBOR
1M
+
5.000%),
3/25/2028
b,d,e
232,356
Global
Medical
Response,
Inc.,
Term
Loan
1,750,613
5.750%, 
(LIBOR
3M
+
4.750%),
10/2/2025
b
1,743,610
MPH
Acquisition
Holdings,
LLC,
Term
Loan
1,243,926
3.750%, 
(LIBOR
3M
+
2.750%),
6/7/2023
b
1,236,438
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
20
Principal
Amount
Bank
Loans
(10.7%)
a
Value
Consumer
Non-Cyclical
(1.7%)
-
continued
Ortho-Clinical
Diagnostics
SA,
Term
Loan
$
765,948
3.359%, 
(LIBOR
1M
+
3.250%),
6/30/2025
b
$
764,225
PetSmart,
Inc.,
Term
Loan
785,000
4.500%, 
(LIBOR
3M
+
3.750%),
2/12/2028
b
783,195
Plantronics,
Inc.,
Term
Loan
195,648
2.650%, 
(LIBOR
1M
+
2.500%),
7/2/2025
b
192,854
Precision
Medicine
Group,
LLC,
Delayed
Draw
64,038
0.000%, 
(LIBOR
1M
+
3.000%),
11/20/2027
b,d,e
63,518
Precision
Medicine
Group,
LLC,
Term
Loan
489,734
3.750%, 
(LIBOR
3M
+
3.750%),
11/20/2027
b
485,757
Sotera
Health
Holdings,
LLC,
Term
Loan
318,000
3.250%, 
(LIBOR
3M
+
2.750%),
12/13/2026
b
316,808
Total
8,147,384
Financials
(0.7%)
Asurion,
LLC,
Term
Loan
214,463
3.359%, 
(LIBOR
1M
+
3.250%),
12/23/2026
b
212,970
700,000
3.359%, 
(LIBOR
1M
+
3.250%),
8/3/2027
b,d,e
694,603
440,000
5.359%, 
(LIBOR
1M
+
5.250%),
2/3/2028
b
447,700
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
318,618
2.500%, 
(LIBOR
1M
+
1.750%),
1/15/2025
b
317,283
MoneyGram
International,
Inc.,
Term
Loan
398,207
7.000%, 
(LIBOR
3M
+
6.000%),
6/30/2023
b
398,008
NCR
Corporation,
Term
Loan
601,163
2.720%, 
(LIBOR
3M
+
2.500%),
8/28/2026
b,c
593,648
Newco
Financing
Partnership,
Term
Loan
100,000
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
99,679
Northriver
Midstream
Finance,
LP,
Term
Loan
582,550
3.488%, 
(LIBOR
3M
+
3.250%),
10/1/2025
b
573,906
UPC
Financing
Partnership,
Term
Loan
100,000
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
99,679
Total
3,437,476
Technology
(0.9%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
550,879
3.712%, 
(LIBOR
3M
+
3.500%),
8/21/2026
b
528,386
Principal
Amount
Bank
Loans
(10.7%)
a
Value
Technology
(0.9%)
-
continued
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
$
340,000
3.609%, 
(LIBOR
1M
+
3.500%),
6/30/2027
b
$
338,157
Prime
Security
Services
Borrower,
LLC,
Term
Loan
1,475,000
3.500%, 
(LIBOR
1M
+
2.750%),
9/23/2026
b
1,468,082
Rackspace
Technology
Global,
Inc.,
Term
Loan
950,000
3.500%, 
(LIBOR
3M
+
2.750%),
2/9/2028
b
940,795
SS&C
Technologies,
Inc.,
Term
Loan
51,358
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,d,e
50,764
39,932
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,d,e
39,469
Zayo
Group
Holdings,
Inc.,
Term
Loan
988,776
0.000%, 
(LIBOR
1M
+
3.000%),
3/9/2027
b
980,105
Total
4,345,758
Transportation
(0.5%)
American
Airlines,
Inc.,
Term
Loan
840,000
0.000%, 
(LIBOR
1M
+
4.750%),
3/24/2028
b,d,e
859,690
SkyMiles
IP,
Ltd.,
Term
Loan
695,000
4.750%, 
(LIBOR
3M
+
3.750%),
10/20/2027
b
729,055
United
Airlines,
Inc.,
Term
Loan
513,316
1.865%, 
(LIBOR
1M
+
1.750%),
4/1/2024
b
497,824
Total
2,086,569
Utilities
(0.5%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
61,427
2.375%, 
(LIBOR
1M
+
2.250%),
9/24/2026
b
61,427
Core
and
Main,
LP,
Term
Loan
478,912
3.750%, 
(LIBOR
3M
+
2.750%),
8/1/2024
b
476,614
EnergySolutions,
LLC,
Term
Loan
340,375
4.750%, 
(LIBOR
3M
+
3.750%),
5/11/2025
b
338,248
Exgen
Renewables
IV,
LLC,
Term
Loan
378,263
3.750%, 
(LIBOR
3M
+
3.000%),
12/11/2027
b,d,e
378,421
PG&E
Corporation,
Term
Loan
842,877
3.500%, 
(LIBOR
3M
+
3.000%),
6/23/2025
b
841,031
Talen
Energy
Supply,
LLC,
Term
Loan
247,225
3.859%, 
(LIBOR
1M
+
3.750%),
7/8/2026
b
239,808
Total
2,335,549
Total
Bank
Loans
(cost
$50,199,535)
50,059,118
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
21
Shares
Common
Stock
(
38.2%
)
Value
Communications
Services
(3.3%)
5,468
Activision
Blizzard,
Inc.
$
508,524
1,803
Alphabet,
Inc.,
Class
A
f
3,718,724
580
Alphabet,
Inc.,
Class
C
f
1,199,805
11,319
AT&T,
Inc.
342,626
1,146
Charter
Communications,
Inc.
f
707,105
20,344
Comcast
Corporation
1,100,814
4,390
Discovery,
Inc.,
Class
A
f,g
190,789
7,498
DISH
Network
Corporation
f
271,428
7,734
Facebook,
Inc.
f
2,277,895
808
Gray
Television,
Inc.
14,867
6,104
Live
Nation
Entertainment,
Inc.
f
516,704
7,152
Lumen
Technologies,
Inc.
95,479
1,964
Match
Group,
Inc.
f
269,814
17,872
QuinStreet,
Inc.
f
362,802
27
Roku,
Inc.
f
8,796
1,075
Telephone
&
Data
Systems,
Inc.
24,682
16,101
Twitter,
Inc.
f
1,024,507
17,025
Uber
Technologies,
Inc.
f
928,033
175
United
States
Cellular
Corporation
f
6,384
18,555
Verizon
Communications,
Inc.
1,078,973
3,252
Walt
Disney
Company
f
600,059
316
Windstream
Services,
LLC,
Warrants
(Expires
12/31/2049)
f
4,055
2,511
Zillow
Group,
Inc.
f
329,895
Total
15,582,760
Consumer
Discretionary
(5.1%)
1,976
Amazon.com,
Inc.
f
6,113,902
9,901
Aptiv
plc
f
1,365,348
298
AutoZone,
Inc.
f
418,481
1,247
Big
Lots,
Inc.
85,170
4,045
Bloomin'
Brands,
Inc.
f
109,417
393
Booking
Holdings,
Inc.
f
915,627
50
Burlington
Stores,
Inc.
f
14,940
3,528
Caesars
Entertainment,
Inc.
f
308,524
4,675
Callaway
Golf
Company
125,056
1,139
Carvana
Company
f
298,874
5,985
Cedar
Fair,
LP
f
297,335
1,221
Chewy,
Inc.
f
103,431
484
Chipotle
Mexican
Grill,
Inc.
f
687,677
9,070
Cooper-Standard
Holdings,
Inc.
f
329,422
3,267
Crocs,
Inc.
f
262,830
4,133
D.R.
Horton,
Inc.
368,333
70
Dick's
Sporting
Goods,
Inc.
5,330
1,265
Domino's
Pizza,
Inc.
465,254
54
Dorman
Products,
Inc.
f
5,543
1,009
Emerald
Holding,
Inc.
f
5,570
2,028
Expedia
Group,
Inc.
f
349,059
423
Garmin,
Ltd.
55,773
25
Graham
Holdings
Company
14,061
8,180
Harley-Davidson,
Inc.
328,018
3,022
Home
Depot,
Inc.
922,466
2,732
Kohl's
Corporation
162,855
8,012
Leggett
&
Platt,
Inc.
365,748
9,232
Libbey,
Inc.
f
13,617
5,806
Lowe's
Companies,
Inc.
1,104,185
1,606
Lululemon
Athletica,
Inc.
f
492,576
9,571
Macy's,
Inc.
f
154,954
5,679
Mattel,
Inc.
f
113,126
1,970
McDonald's
Corporation
441,556
162
Mercadolibre,
Inc.
f
238,487
5,521
Miller
Industries,
Inc.
255,015
1,145
Mohawk
Industries,
Inc.
f
220,195
3,460
NIKE,
Inc.
459,799
3,984
Nordstrom,
Inc.
f
150,874
Shares
Common
Stock
(38.2%)
Value
Consumer
Discretionary
(5.1%)
-
continued
178
NVR,
Inc.
f
$
838,546
1,813
Overstock.com,
Inc.
f
120,129
2,927
Qurate
Retail,
Inc.
34,422
87
Revolve
Group,
Inc.
f
3,909
508
RH
f
303,073
2,242
Ross
Stores,
Inc.
268,838
2,041
Sleep
Number
Corporation
f
292,863
5,438
Sony
Corporation
ADR
576,482
509
Stitch
Fix,
Inc.
f
25,216
7,743
Stoneridge,
Inc.
f
246,305
144
Strategic
Education,
Inc.
13,235
1,509
Taylor
Morrison
Home
Corporation
f
46,492
2,651
Tesla,
Inc.
f
1,770,682
2,819
Texas
Roadhouse,
Inc.
f
270,455
19,010
Under
Armour,
Inc.,
Class
C
f
350,925
1,760
Workhorse
Group,
Inc.
f,g
24,235
5,557
Zumiez,
Inc.
f
238,395
Total
23,552,630
Consumer
Staples
(1.4%)
1,195
Altria
Group,
Inc.
61,136
4,206
BJ's
Wholesale
Club
Holdings,
Inc.
f
188,681
3,813
Bunge,
Ltd.
302,257
3,502
Colgate-Palmolive
Company
276,063
1,653
Costco
Wholesale
Corporation
582,649
12,460
Hain
Celestial
Group,
Inc.
f
543,256
1,820
John
B.
Sanfilippo
&
Son,
Inc.
164,473
1,813
Kimberly-Clark
Corporation
252,098
5,535
Lamb
Weston
Holdings,
Inc.
428,852
4,587
Monster
Beverage
Corporation
f
417,830
352
PepsiCo,
Inc.
49,790
12,624
Philip
Morris
International,
Inc.
1,120,254
23,210
Primo
Water
Corporation
377,395
2,740
Procter
&
Gamble
Company
371,078
7,315
Turning
Point
Brands,
Inc.
381,624
8,121
Wal-Mart
Stores,
Inc.
1,103,075
Total
6,620,511
Energy
(1.2%)
7,756
Antero
Resources
Corporation
f
79,111
13,685
BP
plc
ADR
333,230
935
Cheniere
Energy,
Inc.
f
67,329
1,266
Chevron
Corporation
132,664
6,991
ConocoPhillips
370,313
445
CONSOL
Energy,
Inc.
f
4,325
980
Core
Laboratories
NV
28,214
41,091
Devon
Energy
Corporation
897,838
579
Dorian
LPG,
Ltd.
f
7,602
2,862
Enbridge,
Inc.
104,177
14,891
Enterprise
Products
Partners,
LP
327,900
3,410
EOG
Resources,
Inc.
247,327
6,626
EQT
Corporation
f
123,111
4,296
Exxon
Mobil
Corporation
239,846
9,438
Gevo,
Inc.
f,g
92,587
9,743
Halliburton
Company
209,085
2,894
Helix
Energy
Solutions
Group,
Inc.
f
14,615
12,821
Helmerich
&
Payne,
Inc.
345,654
17,547
Kinder
Morgan,
Inc.
292,158
6,818
Marathon
Petroleum
Corporation
364,695
1,300
MPLX,
LP
33,319
8,636
Nine
Energy
Service,
Inc.
f
19,863
6,641
Occidental
Petroleum
Corporation
176,783
1,846
PDC
Energy,
Inc.
f
63,502
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
22
Shares
Common
Stock
(38.2%)
Value
Energy
(1.2%)
-
continued
3,776
Pioneer
Natural
Resources
Company
$
599,704
2,250
SM
Energy
Company
36,833
770
TC
Energy
Corporation
35,228
3,433
Valero
Energy
Corporation
245,803
1,100
Williams
Companies,
Inc.
26,059
Total
5,518,875
Financials
(6.1%)
8,419
Air
Lease
Corporation
412,531
2
Alleghany
Corporation
f
1,253
11,540
Ally
Financial,
Inc.
521,723
3,062
American
Equity
Investment
Life
Holding
Company
96,545
3,939
American
Express
Company
557,132
16,493
Annaly
Capital
Management,
Inc.
141,840
8,225
Arch
Capital
Group,
Ltd.
f
315,593
2,443
Ares
Capital
Corporation
45,709
2,365
Arthur
J.
Gallagher
&
Company
295,081
966
Associated
Banc-Corp
20,614
15,357
Assured
Guaranty,
Ltd.
649,294
37,915
Bank
of
America
Corporation
1,466,931
308
Bank
of
Marin
Bancorp
12,061
6,282
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
240,098
1,749
Berkshire
Hathaway,
Inc.
f
446,817
2,800
BlackRock
TCP
Capital
Corporation
38,724
721
BlackRock,
Inc.
543,605
2,721
Blackstone
Mortgage
Trust,
Inc.
84,351
13,989
Bridgewater
Bancshares,
Inc.
f
225,922
190
Brighthouse
Financial,
Inc.
f
8,408
672
Broadmark
Realty
Capital,
Inc.
7,029
6,561
Capital
One
Financial
Corporation
834,756
16,019
Charles
Schwab
Corporation
1,044,118
2,943
Chimera
Investment
Corporation
37,376
3,238
Chubb,
Ltd.
511,507
1,497
Cincinnati
Financial
Corporation
154,326
12,866
Citigroup,
Inc.
936,002
395
Citizens
Financial
Group,
Inc.
17,439
1,786
CME
Group,
Inc.
364,755
9,647
Columbia
Banking
System,
Inc.
415,689
4,320
Comerica,
Inc.
309,917
1,132
Community
Trust
Bancorp,
Inc.
49,842
189
Customers
Bancorp,
Inc.
f
6,014
4,037
Discover
Financial
Services
383,475
1,999
Ellington
Residential
Mortgage
REIT
24,608
453
Enova
International,
Inc.
f
16,072
28,996
Equitable
Holdings,
Inc.
945,850
2,861
Evercore,
Inc.
376,908
18,632
Everi
Holdings,
Inc.
f
262,898
2,815
F.N.B.
Corporation
35,751
337
FactSet
Research
Systems,
Inc.
103,995
370
Financial
Institutions,
Inc.
11,207
1,922
First
Busey
Corporation
49,299
239
First
Mid-Illinois
Bancshares,
Inc.
10,499
2,147
First
Republic
Bank
358,012
3,964
Flagstar
Bancorp,
Inc.
178,776
1,200
FS
KKR
Capital
Corporation
23,796
2,600
FS
KKR
Capital
Corporation
II
50,778
3,575
Glacier
Bancorp,
Inc.
204,061
727
Goldman
Sachs
Group,
Inc.
237,729
3,222
Golub
Capital
BDC,
Inc.
47,106
535
Granite
Point
Mortgage
Trust,
Inc.
6,404
1,292
Great
Southern
Bancorp,
Inc.
73,218
Shares
Common
Stock
(38.2%)
Value
Financials
(6.1%)
-
continued
3,336
Hancock
Whitney
Corporation
$
140,145
10,071
Heartland
Financial
USA,
Inc.
506,169
934
Hometrust
Bancshares,
Inc.
22,743
7,528
Hope
Bancorp,
Inc.
113,372
433
Independent
Bank
Corporation
10,236
11,036
J.P.
Morgan
Chase
&
Company
1,680,010
5,365
James
River
Group
Holdings,
Ltd.
244,751
2,118
Jefferies
Financial
Group,
Inc.
63,752
22,383
KeyCorp
447,212
2,189
Kinsale
Capital
Group,
Inc.
360,747
4,017
KKR
&
Company,
Inc.
196,231
234
KKR
Real
Estate
Finance
Trust,
Inc.
4,303
646
Lakeland
Bancorp,
Inc.
11,260
1,935
Lincoln
National
Corporation
120,492
60
Markel
Corporation
f
68,377
79
MarketAxess
Holdings,
Inc.
39,336
2,779
Marsh
&
McLennan
Companies,
Inc.
338,482
7,288
Meridian
Bancorp,
Inc.
134,245
4,153
MetLife,
Inc.
252,461
15,351
MFA
Financial,
Inc.
62,479
2,789
MidWestOne
Financial
Group,
Inc.
86,375
626
Moody's
Corporation
186,930
10,496
Morgan
Stanley
815,119
2,399
Navient
Corporation
34,330
9,204
New
York
Community
Bancorp,
Inc.
116,155
4,014
New
York
Mortgage
Trust,
Inc.
17,943
2,342
Old
Republic
International
Corporation
51,149
266
Peapack-Gladstone
Financial
Corporation
8,214
987
PennyMac
Mortgage
Investment
Trust
19,345
2,349
Primerica,
Inc.
347,229
214
QCR
Holdings,
Inc.
10,105
13,628
Radian
Group,
Inc.
316,851
4,251
Raymond
James
Financial,
Inc.
521,003
2,469
S&P
Global,
Inc.
871,236
8,414
Seacoast
Banking
Corporation
of
Florida
f
304,923
1,511
Selective
Insurance
Group,
Inc.
109,608
1,718
Sixth
Street
Specialty
Lending,
Inc.
36,130
2,197
Starwood
Property
Trust,
Inc.
54,354
6,215
Synovus
Financial
Corporation
284,336
522
T.
Rowe
Price
Group,
Inc.
89,575
1,907
Torchmark
Corporation
184,273
4,575
Triumph
Bancorp,
Inc.
f
354,059
8,477
Truist
Financial
Corporation
494,379
5,793
Umpqua
Holdings
Corporation
101,667
281
Universal
Insurance
Holdings,
Inc.
4,030
5,384
Unum
Group
149,837
30,689
Wells
Fargo
&
Company
1,199,019
12,553
Western
Alliance
Bancorp
1,185,505
1,343
Western
Asset
Mortgage
Capital
Corporation
4,284
15,029
Zions
Bancorporations
NA
825,994
1,124
Zurich
Insurance
Group
AG
478,432
Total
28,292,636
Health
Care
(4.8%)
2,558
Abbott
Laboratories
306,551
3,201
AbbVie,
Inc.
346,412
529
Align
Technology,
Inc.
f
286,469
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
23
Shares
Common
Stock
(38.2%)
Value
Health
Care
(4.8%)
-
continued
1,320
Amedisys,
Inc.
f
$
349,523
4,052
Amgen,
Inc.
1,008,178
4,084
AMN
Healthcare
Services,
Inc.
f
300,991
2,483
Anthem,
Inc.
891,273
6,191
Ardelyx,
Inc.
f
40,984
1,376
Becton,
Dickinson
and
Company
334,574
1,157
Biogen,
Inc.
f
323,671
2,133
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
f
145,791
2,635
Catalent,
Inc.
f
277,492
4,835
Centene
Corporation
f
309,005
5,453
Cerner
Corporation
391,962
2,666
Cigna
Holding
Company
644,479
4,734
CVS
Health
Corporation
356,139
1,792
Danaher
Corporation
403,343
1,069
Dexcom,
Inc.
f
384,188
8,203
Edwards
Lifesciences
Corporation
f
686,099
6,824
GlaxoSmithKline
plc
ADR
g
243,549
797
Haemonetics
Corporation
f
88,475
5,477
Halozyme
Therapeutics,
Inc.
f
228,336
2,556
HCA
Healthcare,
Inc.
481,397
1,112
Humana,
Inc.
466,206
1,194
Illumina,
Inc.
f
458,568
3,450
InMode,
Ltd.
f
249,676
734
Intuitive
Surgical,
Inc.
f
542,382
2,036
IQVIA
Holding,
Inc.
f
393,233
9,405
Johnson
&
Johnson
1,545,712
8,291
Lantheus
Holdings,
Inc.
f
177,179
1,065
LHC
Group,
Inc.
f
203,639
12,257
Medtronic
plc
1,447,919
12,116
Merck
&
Company,
Inc.
934,022
143
Mettler-Toledo
International,
Inc.
f
165,264
1,180
Moderna,
Inc.
f
154,521
951
Novavax,
Inc.
f
172,426
4,424
Novo
Nordisk
AS
ADR
298,266
5,017
NuVasive,
Inc.
f
328,915
1,474
Quidel
Corporation
f
188,569
527
Reata
Pharmaceuticals,
Inc.
f
52,542
3,449
Stryker
Corporation
840,107
8,892
Syneos
Health,
Inc.
f
674,458
4,927
Tactile
Systems
Technology,
Inc.
f
268,472
1,733
Teladoc
Health,
Inc.
f
314,973
238
Teleflex,
Inc.
98,879
2,840
Thermo
Fisher
Scientific,
Inc.
1,296,119
1,828
UnitedHealth
Group,
Inc.
680,144
12,690
Vaxart,
Inc.
f,g
76,774
1,830
Veeva
Systems,
Inc.
f
478,069
14,116
Viemed
Healthcare,
Inc.
f
142,854
1,143
Zimmer
Biomet
Holdings,
Inc.
182,971
4,978
Zoetis,
Inc.
783,935
Total
22,445,675
Industrials
(4.8%)
4,288
Advanced
Drainage
Systems,
Inc.
443,336
834
Allegion
plc
104,767
9,978
Altra
Industrial
Motion
Corporation
551,983
4,459
AMETEK,
Inc.
569,548
3,100
ASGN,
Inc.
f
295,864
1,047
Axon
Enterprise,
Inc.
f
149,114
11,329
Badger
Daylighting,
Ltd.
386,468
3,238
Blink
Charging
Company
f,g
133,082
767
Boeing
Company
f
195,370
2,589
Carlisle
Companies,
Inc.
426,098
1,378
Chart
Industries,
Inc.
f
196,158
39
Copart,
Inc.
f
4,236
Shares
Common
Stock
(38.2%)
Value
Industrials
(4.8%)
-
continued
2,827
Crane
Company
$
265,484
3,165
CSX
Corporation
305,169
27
Cummins,
Inc.
6,996
4,167
Curtiss-Wright
Corporation
494,206
10,964
Delta
Air
Lines,
Inc.
f
529,342
2,391
Eaton
Corporation
plc
330,628
3,518
Emerson
Electric
Company
317,394
1,705
Encore
Wire
Corporation
114,457
685
Fortive
Corporation
48,388
3,698
Forward
Air
Corporation
328,419
8,667
FuelCell
Energy,
Inc.
f
124,891
505
GATX
Corporation
46,834
4,802
General
Dynamics
Corporation
871,851
289
Gorman-Rupp
Company
9,569
3,570
Greenbrier
Companies,
Inc.
168,575
2,463
Heico
Corporation
309,845
4,469
Helios
Technologies,
Inc.
325,656
5,027
Honeywell
International,
Inc.
1,091,211
12,070
Howmet
Aerospace,
Inc.
f
387,809
1,657
IDEX
Corporation
346,843
275
Illinois
Tool
Works,
Inc.
60,918
13,072
Johnson
Controls
International
plc
780,006
1,842
Kansas
City
Southern
486,141
2,606
L3Harris
Technologies,
Inc.
528,184
183
Landstar
System,
Inc.
30,206
2,620
Lincoln
Electric
Holdings,
Inc.
322,103
2,004
Lockheed
Martin
Corporation
740,478
4,360
Manpower,
Inc.
431,204
14,734
Meritor,
Inc.
f
433,474
1,736
Middleby
Corporation
f
287,742
811
MSC
Industrial
Direct
Company,
Inc.
73,144
7,251
NAPCO
Security
Technologies,
Inc.
f
252,552
125
Nordson
Corporation
24,835
1,749
Norfolk
Southern
Corporation
469,642
1,242
Northrop
Grumman
Corporation
401,961
6,460
Nutrien,
Ltd.
348,129
1,901
Old
Dominion
Freight
Line,
Inc.
457,019
2,819
Otis
Worldwide
Corporation
192,961
2,181
Parker-Hannifin
Corporation
687,953
3,807
Patrick
Industries,
Inc.
323,595
10,257
Raven
Industries,
Inc.
393,151
5,214
Raytheon
Technologies
Corporation
402,886
2,139
Regal-Beloit
Corporation
305,193
2,711
Ritchie
Brothers
Auctioneers,
Inc.
158,729
7,882
Southwest
Airlines
Company
f
481,275
3,620
Spirit
Airlines,
Inc.
f
133,578
837
Stanley
Black
&
Decker,
Inc.
167,124
5,697
Timken
Company
462,426
2,964
Tutor
Perini
Corporation
f
56,168
2,035
Union
Pacific
Corporation
448,534
2,960
United
Parcel
Service,
Inc.
503,170
3,834
United
Rentals,
Inc.
f
1,262,575
1,076
Verisk
Analytics,
Inc.
190,118
4,293
WESCO
International,
Inc.
f
371,473
280
Woodward,
Inc.
33,776
Total
22,582,014
Information
Technology
(8.3%)
1,942
Accenture
plc
536,478
2,581
Adobe,
Inc.
f
1,226,930
2,033
Advanced
Energy
Industries,
Inc.
221,943
6,050
Agilysys,
Inc.
f
290,158
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
24
Shares
Common
Stock
(38.2%)
Value
Information
Technology
(8.3%)
-
continued
3,137
Alliance
Data
Systems
Corporation
$
351,626
5,064
Amphenol
Corporation
334,072
412
Analog
Devices,
Inc.
63,893
1,245
ANSYS,
Inc.
f
422,752
48,096
Apple,
Inc.
5,874,926
4,141
Axcelis
Technologies,
Inc.
f
170,154
3,811
BigCommerce
Holdings,
Inc.
f,g
220,276
1,142
Broadcom,
Ltd.
529,500
315
Broadridge
Financial
Solutions,
Inc.
48,226
6,667
Calix,
Inc.
f
231,078
9,568
Ciena
Corporation
f
523,561
24,540
Cisco
Systems,
Inc.
1,268,963
4,131
Computer
Services,
Inc.
243,729
2,450
Dolby
Laboratories,
Inc.
241,864
11,206
Dropbox,
Inc.
f
298,752
1,636
Enphase
Energy,
Inc.
f
265,294
173
Euronet
Worldwide,
Inc.
f
23,926
3,117
Fastly,
Inc.
f,g
209,712
1,029
FleetCor
Technologies,
Inc.
f
276,420
2,505
II-VI,
Inc.
f
171,267
1,132
Intuit,
Inc.
433,624
347
Jack
Henry
&
Associates,
Inc.
52,647
533
KLA-Tencor
Corporation
176,103
372
Lam
Research
Corporation
221,429
934
Littelfuse,
Inc.
246,987
616
Lumentum
Holdings,
Inc.
f
56,272
4,441
Mastercard,
Inc.
1,581,218
2,468
Microchip
Technology,
Inc.
383,083
4,949
Micron
Technology,
Inc.
f
436,551
28,694
Microsoft
Corporation
6,765,184
1,617
Motorola
Solutions,
Inc.
304,077
6,577
National
Instruments
Corporation
284,028
1,175
Nice,
Ltd.
ADR
f
256,115
25,770
Nuance
Communications,
Inc.
f
1,124,603
2,462
NVIDIA
Corporation
1,314,536
1,440
ON
Semiconductor
Corporation
f
59,918
9,409
Oracle
Corporation
660,230
8,126
PayPal
Holdings,
Inc.
f
1,973,318
2,372
Plexus
Corporation
f
217,844
1,617
Plug
Power,
Inc.
f
57,953
9,005
QUALCOMM,
Inc.
1,193,973
16,440
Sabre
Corporation
f
243,476
4,690
Salesforce.com,
Inc.
f
993,670
456
Samsung
Electronics
Company,
Ltd.
GDR
831,371
1,661
ServiceNow,
Inc.
f
830,683
5,550
Square,
Inc.
f
1,260,128
836
TE
Connectivity,
Ltd.
107,936
343
Teradyne,
Inc.
41,736
7,765
Texas
Instruments,
Inc.
1,467,507
20,310
TTM
Technologies,
Inc.
f
294,495
142
Tyler
Technologies,
Inc.
f
60,283
1,951
Visa,
Inc.
413,085
1,157
VMware,
Inc.
f,g
174,071
809
Western
Digital
Corporation
54,001
2,923
Workiva,
Inc.
f
257,984
Total
38,875,619
Materials
(1.1%)
12,173
Axalta
Coating
Systems,
Ltd.
f
360,077
4,616
Ball
Corporation
391,160
9,040
Carpenter
Technology
Corporation
371,996
11,584
CF
Industries
Holdings,
Inc.
525,682
2,646
Eastman
Chemical
Company
291,377
Shares
Common
Stock
(38.2%)
Value
Materials
(1.1%)
-
continued
1,616
Ecolab,
Inc.
$
345,937
17,619
Element
Solutions,
Inc.
322,251
288
International
Flavors
&
Fragrances,
Inc.
40,208
36,220
Ivanhoe
Mines,
Ltd.
f
186,475
2,115
LyondellBasell
Industries
NV
220,066
1,421
Martin
Marietta
Materials,
Inc.
477,200
6,769
Nucor
Corporation
543,348
52
PPG
Industries,
Inc.
7,813
7,618
Steel
Dynamics,
Inc.
386,690
662
SunCoke
Energy,
Inc.
4,641
4,747
UFP
Technologies,
Inc.
f
236,496
2,321
United
States
Lime
&
Minerals,
Inc.
310,341
4,728
W.
R.
Grace
&
Company
283,018
Total
5,304,776
Real
Estate
(1.3%)
1,513
Agree
Realty
Corporation
101,840
1,993
Alexandria
Real
Estate
Equities,
Inc.
327,450
13,512
American
Campus
Communities,
Inc.
583,313
3,372
Apartment
Investment
&
Management
Company
20,704
1,348
AvalonBay
Communities,
Inc.
248,720
2,942
Camden
Property
Trust
323,355
3,494
CBRE
Group,
Inc.
f
276,410
3,015
Colliers
International
Group,
Inc.
296,194
40
Community
Healthcare
Trust,
Inc.
1,845
1,951
Digital
Realty
Trust,
Inc.
274,779
6,746
Douglas
Emmett,
Inc.
211,824
6,395
Duke
Realty
Corporation
268,142
440
EastGroup
Properties,
Inc.
63,043
7,528
Essential
Properties
Realty
Trust,
Inc.
171,864
104
Extra
Space
Storage,
Inc.
13,785
3,039
First
Industrial
Realty
Trust,
Inc.
139,156
5,687
Four
Corners
Property
Trust,
Inc.
155,824
2,854
Healthcare
Realty
Trust,
Inc.
86,533
29,161
Host
Hotels
&
Resorts,
Inc.
f
491,363
12,168
Independence
Realty
Trust,
Inc.
184,954
489
Innovative
Industrial
Properties,
Inc.
88,098
1,540
iSTAR
Financial,
Inc.
27,381
4,322
MGIC
Investment
Corporation
59,860
8,122
National
Storage
Affiliates
Trust
324,312
5,513
New
Residential
Investment
Corporation
62,021
1,692
Pebblebrook
Hotel
Trust
41,099
258
Plymouth
Industrial
REIT,
Inc.
4,347
1,780
Public
Storage,
Inc.
439,233
3,469
Rayonier,
Inc.
REIT
111,875
3,076
Realty
Income
Corporation
195,326
2,501
Rexford
Industrial
Realty,
Inc.
126,050
9,639
Service
Properties
Trust
114,319
23,370
Sunstone
Hotel
Investors,
Inc.
f
291,190
Total
6,126,209
Utilities
(0.8%)
9,257
Alliant
Energy
Corporation
501,359
1,558
American
Electric
Power
Company,
Inc.
131,963
211
American
States
Water
Company
15,956
15,666
CenterPoint
Energy,
Inc.
354,835
4,932
Duke
Energy
Corporation
476,086
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
25
Shares
Common
Stock
(38.2%)
Value
Utilities
(0.8%)
-
continued
8,630
Entergy
Corporation
$
858,426
7,093
Exelon
Corporation
310,248
9,829
FirstEnergy
Corporation
340,968
503
NextEra
Energy
Partners,
LP
36,659
914
NextEra
Energy,
Inc.
69,107
1,907
NorthWestern
Corporation
124,336
3,948
Portland
General
Electric
Company
187,411
2,629
Spire,
Inc.
194,257
256
Unitil
Corporation
11,697
1,537
WEC
Energy
Group,
Inc.
143,848
Total
3,757,156
Total
Common
Stock
(cost
$126,363,153)
178,658,861
Principal
Amount
Long-Term
Fixed
Income
(
30.0%
)
Value
Asset-Backed
Securities
(1.5%)
522
Funding
CLO,
Ltd.
$
225,000
4.051%, 
(LIBOR
3M
+
3.850%),
10/23/2033,
Ser.
2020-6A,
Class
D
b,h
225,684
Ares
LVII
CLO,
Ltd.
225,000
4.594%, 
(LIBOR
3M
+
4.350%),
10/25/2031,
Ser.
2020-57A,
Class
D
b,h
226,389
Babson
CLO,
Ltd.
300,000
3.124%, 
(LIBOR
3M
+
2.900%),
7/20/2029,
Ser.
2018-3A,
Class
D
b,h
291,046
Cent
CLO,
LP
850,000
2.518%, 
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
b,h
850,128
College
Ave
Student
Loans,
LLC
162,767
1.759%, 
(LIBOR
1M
+
1.650%),
11/26/2046,
Ser.
2017-A,
Class
A1
b,h
165,825
Conn's
Receivables
Funding
49,769
1.710%, 
6/16/2025,
Ser.
2020-A,
Class
A
h
49,933
Foundation
Finance
Trust
90,309
3.300%, 
7/15/2033,
Ser.
2017-1A,
Class
A
h
91,844
Harley
Marine
Financing,
LLC
432,000
5.682%, 
5/15/2043,
Ser.
2018-1A,
Class
A2
h
402,946
Madison
Park
Funding
XIV,
Ltd.
500,000
1.622%, 
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,h
500,022
Octagon
Investment
Partners
50,
Ltd.
275,000
4.470%, 
(LIBOR
3M
+
4.300%),
10/15/2033,
Ser.
2020-4A,
Class
D
b,h
275,991
OHA
Credit
Funding
1,
Ltd.
390,000
1.674%, 
(LIBOR
3M
+
1.450%),
10/20/2030,
Ser.
2018-1A,
Class
A2
b,h
390,031
OZLM
IX,
Ltd.
425,000
1.774%, 
(LIBOR
3M
+
1.550%),
10/20/2031,
Ser.
2014-9A,
Class
A1BR
b,h
425,079
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Asset-Backed
Securities
(1.5%)
-
continued
Palmer
Square
CLO,
Ltd.
$
400,000
2.241%, 
(LIBOR
3M
+
2.000%),
5/21/2029,
Ser.
2015-1A,
Class
BR3
b,h
$
398,959
Palmer
Square
Loan
Funding,
Ltd.
300,000
2.474%, 
(LIBOR
3M
+
2.250%),
4/20/2027,
Ser.
2019-1A,
Class
B
b,h
300,083
Sound
Point
CLO
X,
Ltd.
400,000
2.924%, 
(LIBOR
3M
+
2.700%),
1/20/2028,
Ser.
2015-3A,
Class
DR
b,h
400,246
Sound
Point
CLO
XXI,
Ltd.
800,000
1.665%, 
(LIBOR
3M
+
1.450%),
10/26/2031,
Ser.
2018-3A,
Class
A1B
b,h
800,072
TCI-Flatiron
CLO,
Ltd.
785,000
2.436%, 
(LIBOR
3M
+
2.200%),
1/17/2032,
Ser.
2016-1A,
Class
CR2
b,h
783,689
THL
Credit
Wind
River
CLO,
Ltd.
350,000
3.091%, 
(LIBOR
3M
+
2.850%),
7/15/2028,
Ser.
2016-1A,
Class
DR
b,h
346,597
Vericrest
Opportunity
Loan
Trust
175,000
4.336%, 
2/25/2050,
Ser.
2020-NPL2,
Class
A2
h,i
173,876
Total
7,098,440
Basic
Materials
(0.5%)
Air
Products
and
Chemicals,
Inc.
17,000
1.500%, 
10/15/2025
17,247
Alcoa
Nederland
Holding
BV
95,000
5.500%, 
12/15/2027
h
102,258
Anglo
American
Capital
plc
45,000
2.250%, 
3/17/2028
h
44,322
BWAY
Holding
Company
90,000
5.500%, 
4/15/2024
h
91,237
Chemours
Company
50,000
5.750%, 
11/15/2028
h
52,646
Cleveland-Cliffs,
Inc.
60,000
5.875%, 
6/1/2027
62,100
40,000
4.625%, 
3/1/2029
h
39,932
40,000
4.875%, 
3/1/2031
h
39,900
Consolidated
Energy
Finance
SA
70,000
6.875%, 
6/15/2025
h
71,312
DuPont
de
Nemours,
Inc.
45,000
4.725%, 
11/15/2028
52,303
EI
du
Pont
de
Nemours
&
Company
34,000
1.700%, 
7/15/2025
34,566
First
Quantum
Minerals,
Ltd.
110,000
7.500%, 
4/1/2025
h
113,575
Freeport-McMoRan,
Inc.
90,000
4.125%, 
3/1/2028
94,608
90,000
4.250%, 
3/1/2030
95,850
Hecla
Mining
Company
25,000
7.250%, 
2/15/2028
26,813
Hudbay
Minerals,
Inc.
70,000
4.500%, 
4/1/2026
h
72,752
Ingevity
Corporation
100,000
3.875%, 
11/1/2028
h
97,000
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
26
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Basic
Materials
(0.5%)
-
continued
Kinross
Gold
Corporation
$
44,000
5.125%, 
9/1/2021
$
44,317
Kraton
Polymers,
LLC
90,000
4.250%, 
12/15/2025
h
90,338
LYB
International
Finance
III,
LLC
63,000
1.250%, 
10/1/2025
62,205
Mercer
International,
Inc.
70,000
5.125%, 
2/1/2029
h
72,520
Mosaic
Company
15,000
3.250%, 
11/15/2022
15,582
67,000
4.050%, 
11/15/2027
74,372
Norbord,
Inc.
80,000
5.750%, 
7/15/2027
h
85,264
Novelis
Corporation
70,000
5.875%, 
9/30/2026
h
73,063
40,000
4.750%, 
1/30/2030
h
41,228
Nucor
Corporation
17,000
2.000%, 
6/1/2025
17,440
Nutrien,
Ltd.
45,000
4.000%, 
12/15/2026
50,435
OCI
NV
100,000
4.625%, 
10/15/2025
h
103,375
Olin
Corporation
150,000
5.125%, 
9/15/2027
155,250
Steel
Dynamics,
Inc.
21,000
2.400%, 
6/15/2025
21,887
Syngenta
Finance
NV
71,000
3.933%, 
4/23/2021
h
71,131
Tronox
Finance
plc
50,000
5.750%, 
10/1/2025
h
52,157
United
States
Steel
Corporation
110,000
6.875%, 
3/1/2029
112,475
Venator
Finance
SARL
70,000
5.750%, 
7/15/2025
h
67,900
Westlake
Chemical
Corporation
45,000
3.600%, 
8/15/2026
48,642
Xstrata
Finance
Canada,
Ltd.
66,000
4.950%, 
11/15/2021
h
67,843
Total
2,435,845
Capital
Goods
(1.0%)
AECOM
160,000
5.125%, 
3/15/2027
174,100
Amsted
Industries,
Inc.
80,000
5.625%, 
7/1/2027
h
84,900
Ardagh
Packaging
Finance
plc
61,000
6.000%, 
2/15/2025
h
62,860
100,000
5.250%, 
8/15/2027
h
102,008
Boeing
Company
79,000
4.875%, 
5/1/2025
87,962
52,000
2.196%, 
2/4/2026
51,839
67,000
3.250%, 
3/1/2028
68,553
90,000
5.150%, 
5/1/2030
103,657
Bombardier,
Inc.
70,000
7.500%, 
3/15/2025
h
68,863
70,000
7.875%, 
4/15/2027
h
68,648
Brand
Industrial
Services,
Inc.
35,000
8.500%, 
7/15/2025
h
35,273
BWAY
Holding
Company
70,000
7.250%, 
4/15/2025
h
70,000
Carrier
Global
Corporation
67,000
2.722%, 
2/15/2030
67,609
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Capital
Goods
(1.0%)
-
continued
Caterpillar
Financial
Services
Corporation
$
53,000
1.900%, 
9/6/2022
$
54,256
48,000
1.950%, 
11/18/2022
49,239
35,000
1.450%, 
5/15/2025
35,477
Chart
Industries,
Inc.,
Convertible
117,000
1.000%, 
11/15/2024
h
290,379
Cintas
Corporation
No.
2
64,000
2.900%, 
4/1/2022
65,480
CNH
Industrial
Capital,
LLC
64,000
4.875%, 
4/1/2021
64,000
20,000
1.950%, 
7/2/2023
20,538
Cornerstone
Building
Brands,
Inc.
90,000
6.125%, 
1/15/2029
h
95,850
Covanta
Holding
Corporation
70,000
6.000%, 
1/1/2027
73,063
25,000
5.000%, 
9/1/2030
25,250
CP
Atlas
Buyer,
Inc.
60,000
7.000%, 
12/1/2028
h
63,063
Crown
Americas
Capital
Corporation
IV
80,000
4.500%, 
1/15/2023
84,150
Crown
Cork
&
Seal
Company,
Inc.
50,000
7.375%, 
12/15/2026
60,188
General
Electric
Company
51,000
3.514%, 
(LIBOR
3M
+
3.330%),
6/15/2021
b,j
48,195
45,000
3.625%, 
5/1/2030
48,450
GFL
Environmental,
Inc.
20,000
4.000%, 
8/1/2028
h
19,350
65,000
3.500%, 
9/1/2028
h
63,050
Greenbrier
Companies,
Inc.,
Convertible
47,000
2.875%, 
2/1/2024
51,113
H&E
Equipment
Services,
Inc.
70,000
3.875%, 
12/15/2028
h
68,075
Honeywell
International,
Inc.
35,000
1.350%, 
6/1/2025
35,505
Howmet
Aerospace,
Inc.
80,000
6.875%, 
5/1/2025
92,700
Huntington
Ingalls
Industries,
Inc.
67,000
4.200%, 
5/1/2030
74,322
Jeld-Wen,
Inc.
80,000
4.625%, 
12/15/2025
h
81,000
John
Deere
Capital
Corporation
47,000
1.200%, 
4/6/2023
47,745
48,000
2.050%, 
1/9/2025
49,934
67,000
1.500%, 
3/6/2028
65,245
KBR,
Inc.,
Convertible
223,000
2.500%, 
11/1/2023
351,643
Meritor,
Inc.
50,000
4.500%, 
12/15/2028
h
50,150
NESCO
Holdings
II,
Inc.
25,000
5.500%, 
4/15/2029
e,h
25,645
Otis
Worldwide
Corporation
47,000
2.056%, 
4/5/2025
48,393
Owens-Brockway
Glass
Container,
Inc.
60,000
5.875%, 
8/15/2023
h
64,275
Parker-Hannifin
Corporation
70,000
2.700%, 
6/14/2024
74,223
Patrick
Industries,
Inc.,
Convertible
78,000
1.000%, 
2/1/2023
90,968
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
27
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Capital
Goods
(1.0%)
-
continued
Raytheon
Technologies
Corporation
$
45,000
4.125%, 
11/16/2028
$
50,676
Republic
Services,
Inc.
45,000
3.950%, 
5/15/2028
50,220
Roper
Technologies,
Inc.
33,000
2.350%, 
9/15/2024
34,492
35,000
1.000%, 
9/15/2025
34,401
Siemens
Financieringsmaatschappij
NV
67,000
1.700%, 
3/11/2028
h
65,774
SRM
Escrow
Issuer,
LLC
85,000
6.000%, 
11/1/2028
h
89,080
Standard
Industries,
Inc.
120,000
4.375%, 
7/15/2030
h
121,080
Textron,
Inc.
67,000
3.650%, 
3/15/2027
72,153
Titan
Acquisition,
Ltd.
30,000
7.750%, 
4/15/2026
h
31,161
TransDigm,
Inc.
50,000
6.250%, 
3/15/2026
h
53,010
200,000
5.500%, 
11/15/2027
207,026
20,000
4.625%, 
1/15/2029
h
19,721
United
Rentals
North
America,
Inc.
100,000
4.875%, 
1/15/2028
105,337
60,000
4.000%, 
7/15/2030
61,065
United
Technologies
Corporation
68,000
3.950%, 
8/16/2025
75,523
Waste
Pro
USA,
Inc.
35,000
5.500%, 
2/15/2026
h
35,831
WESCO
Distribution,
Inc.
80,000
7.250%, 
6/15/2028
h
89,312
WW
Grainger,
Inc.
30,000
1.850%, 
2/15/2025
30,914
Total
4,703,962
Collateralized
Mortgage
Obligations
(2.7%)
Antler
Mortgage
Trust
2,404
4.458%, 
6/27/2022,
Ser.
2019-RTL1,
Class
A1
h
2,405
168,029
4.335%, 
7/25/2022,
Ser.
2018-RTL1,
Class
A1
h
168,328
Banc
of
America
Alternative
Loan
Trust
187,487
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
185,719
Banc
of
America
Mortgage
Securities
Trust
145,640
2.631%, 
9/25/2035,
Ser.
2005-H,
Class
3A1
b
146,510
49,680
2.976%, 
9/25/2035,
Ser.
2005-H,
Class
2A1
b
48,764
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
75,856
2.310%, 
1/25/2034,
Ser.
2003-8,
Class
5A
b
74,310
Bellemeade
Re,
Ltd.
298,692
1.709%, 
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,h
298,785
194,111
3.509%, 
(LIBOR
1M
+
3.400%),
6/25/2030,
Ser.
2020-1A,
Class
M1B
b,h
194,776
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Collateralized
Mortgage
Obligations
(2.7%)
-
continued
$
129,421
2.409%, 
(LIBOR
1M
+
2.300%),
8/26/2030,
Ser.
2020-2A,
Class
M1A
b,h
$
129,709
Business
Jet
Securities,
LLC
110,075
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
h
111,427
CHL
Mortgage
Pass-Through
Trust
209,806
2.716%, 
11/20/2035,
Ser.
2005-HYB7,
Class
6A1
b
184,521
107,503
2.793%, 
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
110,385
360,252
6.000%, 
11/25/2037,
Ser.
2007-18,
Class
1A2
281,913
CIM
Trust
216,574
5.000%, 
12/25/2057,
Ser.
2018-R3,
Class
A1
b,h
229,372
Citigroup
Mortgage
Loan
Trust,
Inc.
273,752
2.963%, 
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
274,450
Countrywide
Alternative
Loan
Trust
259,871
6.500%, 
8/25/2036,
Ser.
2006-23CB,
Class
2A3
135,948
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
120,122
2.669%, 
11/25/2035,
Ser.
2005-22,
Class
2A1
b
114,531
Credit
Suisse
First
Boston
Mortgage
Securities
Corporation
94,358
5.250%, 
10/25/2035,
Ser.
2005-9,
Class
1A3
93,439
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
191,849
5.250%, 
6/25/2035,
Ser.
2005-3,
Class
4A6
194,047
129,365
1.996%, 
8/25/2035,
Ser.
2005-AR1,
Class
2A3
b
127,831
Eagle
Re,
Ltd.
300,782
1.909%, 
(LIBOR
1M
+
1.800%),
4/25/2029,
Ser.
2019-1,
Class
M1B
b,h
301,378
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
583,374
3.000%, 
5/15/2027,
Ser.
4046,
Class
GI
k
31,146
579,529
3.500%, 
10/15/2032,
Ser.
4119,
Class
KI
k
71,432
729,149
3.000%, 
4/15/2033,
Ser.
4203,
Class
DI
k
53,282
Federal
National
Mortgage
Association
-
REMIC
753,726
3.000%, 
7/25/2027,
Ser.
2012-73,
Class
DI
k
40,312
613,563
3.000%, 
7/25/2027,
Ser.
2012-74,
Class
AI
k
29,217
1,222,877
3.000%, 
8/25/2027,
Ser.
2012-95,
Class
HI
k
57,145
1,452,510
3.000%, 
11/25/2027,
Ser.
2012-121,
Class
BI
k
92,716
894,963
3.000%, 
12/25/2027,
Ser.
2012-139,
Class
DI
k
45,658
440,088
2.500%, 
1/25/2028,
Ser.
2012-152,
Class
AI
k
23,004
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
28
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Collateralized
Mortgage
Obligations
(2.7%)
-
continued
$
1,164,117
3.000%, 
1/25/2028,
Ser.
2012-147,
Class
EI
k
$
60,689
508,915
3.000%, 
2/25/2028,
Ser.
2013-2,
Class
GI
k
29,930
1,712,953
3.000%, 
3/25/2028,
Ser.
2013-18,
Class
IL
k
89,559
469,710
2.500%, 
6/25/2028,
Ser.
2013-87,
Class
IW
k
26,231
727,028
3.000%, 
11/25/2031,
Ser.
2013-69,
Class
IO
k
39,263
503,006
3.000%, 
2/25/2033,
Ser.
2013-1,
Class
YI
k
50,833
3,021,131
1.500%, 
2/25/2036,
Ser.
2021-1,
Class
IY
k
201,140
1,679,240
1.500%, 
2/25/2036,
Ser.
2021-3,
Class
UI
k
93,191
Genworth
Mortgage
Insurance
Corporation
175,000
2.009%, 
(LIBOR
1M
+
1.900%),
11/26/2029,
Ser.
2019-1,
Class
M1
b,h
175,243
GMAC
Mortgage
Corporation
Loan
Trust
98,351
3.657%, 
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
97,967
24,852
0.609%, 
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,l
31,843
GMACM
Mortgage
Loan
Trust
45,639
3.627%, 
11/19/2035,
Ser.
2005-AR6,
Class
1A1
b
45,333
GSAA
Home
Equity
Trust
76,740
4.555%, 
8/25/2034,
Ser.
2004-10,
Class
M2
81,069
IndyMac
INDA
Mortgage
Loan
Trust
706,660
3.110%, 
8/25/2036,
Ser.
2006-AR1,
Class
A1
b
680,816
IndyMac
INDX
Mortgage
Loan
Trust
438,727
0.529%, 
(LIBOR
1M
+
0.420%),
4/25/2046,
Ser.
2006-AR2,
Class
1A1B
b
415,274
J.P.
Morgan
Alternative
Loan
Trust
340,016
6.500%, 
3/25/2036,
Ser.
2006-S1,
Class
1A19
272,712
Legacy
Mortgage
Asset
Trust
271,561
3.250%, 
2/25/2060,
Ser.
2020-GS4,
Class
A1
h,i
274,626
Master
Asset
Securitization
Trust
424,090
0.609%, 
(LIBOR
1M
+
0.500%),
6/25/2036,
Ser.
2006-2,
Class
2A2
b
94,807
Merrill
Lynch
Mortgage
Investors
Trust
265,075
3.554%, 
6/25/2035,
Ser.
2005-A5,
Class
M1
b
154,055
Preston
Ridge
Partners
Mortgage
Trust,
LLC
344,092
3.500%, 
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,h
346,942
202,407
4.750%, 
10/25/2024,
Ser.
2019-GS1,
Class
A2
b,h
202,900
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Collateralized
Mortgage
Obligations
(2.7%)
-
continued
Radnor
RE,
Ltd.
$
525,000
2.809%, 
(LIBOR
1M
+
2.700%),
3/25/2028,
Ser.
2018-1,
Class
M2
b,h
$
529,085
RCO
Mortgage,
LLC
178,752
3.475%, 
11/25/2024,
Ser.
2019-2,
Class
A1
h,i
179,759
Residential
Accredit
Loans,
Inc.
Trust
141,289
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
138,145
142,933
5.750%, 
9/25/2035,
Ser.
2005-QS13,
Class
2A3
142,222
118,515
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
114,845
Residential
Asset
Securitization
Trust
137,818
2.545%, 
1/25/2034,
Ser.
2004-IP1,
Class
A1
b
140,943
256,369
5.500%, 
4/25/2035,
Ser.
2005-A1,
Class
A3
265,181
Residential
Funding
Mortgage
Security
I
Trust
222,823
6.000%, 
7/25/2037,
Ser.
2007-S7,
Class
A20
213,758
Silver
Hill
Trust
193,402
3.102%, 
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,h
200,132
Stanwich
Mortgage
Loan
Trust
135,360
3.475%, 
11/16/2024,
Ser.
2019-NPB2,
Class
A1
h,i
136,129
Starwood
Mortgage
Residential
Trust
211,454
4.121%, 
10/25/2048,
Ser.
2018-IMC2,
Class
A1
b,h
215,979
250,000
3.970%, 
4/25/2060,
Ser.
2020-2,
Class
A2
b,h
260,946
Structured
Adjustable
Rate
Mortgage
Loan
Trust
79,866
3.223%, 
7/25/2035,
Ser.
2005-15,
Class
4A1
b
74,609
147,717
3.212%, 
9/25/2035,
Ser.
2005-18,
Class
1A1
b
120,276
Structured
Asset
Mortgage
Investments,
Inc.
309,482
0.729%, 
(LIBOR
1M
+
0.620%),
12/25/2035,
Ser.
2005-AR4,
Class
A1
b
298,159
Toorak
Mortgage
Corporation
300,000
2.734%, 
3/25/2023,
Ser.
2020-1,
Class
A1
h,i
300,692
Vericrest
Opportunity
Loan
Transferee
200,000
4.826%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A2
h,i
198,711
250,000
4.949%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A2
h,i
249,010
250,000
3.475%, 
3/25/2050,
Ser.
2020-NPL5,
Class
A1B
h,i
249,339
250,000
4.949%, 
4/25/2051,
Ser.
2021-NPL7,
Class
A2
c,h,i
250,000
Verus
Securitization
Trust
271,149
3.345%, 
5/25/2059,
Ser.
2019-2,
Class
A2
b,h
271,716
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
29
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Collateralized
Mortgage
Obligations
(2.7%)
-
continued
Wachovia
Asset
Securitization,
Inc.
$
199,914
0.258%, 
(LIBOR
1M
+
0.140%),
7/25/2037,
Ser.
2007-HE1,
Class
A
b,h,l
$
186,811
WaMu
Mortgage
Pass
Through
Certificates
234,851
1.139%, 
(12
MTA
+
0.880%),
10/25/2046,
Ser.
2006-AR13,
Class
1A
b
220,314
Wells
Fargo
Home
Equity
Trust
194,767
0.859%, 
(LIBOR
1M
+
0.750%),
4/25/2034,
Ser.
2004-1,
Class
M1
b
189,483
Total
12,463,127
Commercial
Mortgage-Backed
Securities
(0.1%)
BFLD
Trust
225,000
1.806%, 
(LIBOR
1M
+
1.700%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,h
227,250
Total
227,250
Communications
Services
(1.4%)
AMC
Networks,
Inc.
80,000
4.250%, 
2/15/2029
77,800
American
Tower
Corporation
50,000
3.375%, 
5/15/2024
53,606
90,000
4.400%, 
2/15/2026
101,394
67,000
3.800%, 
8/15/2029
72,947
AT&T,
Inc.
92,000
4.450%, 
4/1/2024
100,911
90,000
1.700%, 
3/25/2026
89,968
67,000
4.300%, 
2/15/2030
75,427
CCO
Holdings,
LLC
125,000
5.500%, 
5/1/2026
h
128,912
75,000
5.125%, 
5/1/2027
h
79,299
CCOH
Safari,
LLC
164,000
5.750%, 
2/15/2026
h
169,207
Cengage
Learning,
Inc.
100,000
9.500%, 
6/15/2024
h
101,875
Charter
Communications
Operating,
LLC
50,000
4.500%, 
2/1/2024
54,687
68,000
4.908%, 
7/23/2025
77,088
67,000
5.050%, 
3/30/2029
77,011
Clear
Channel
Worldwide
Holdings,
Inc.
85,000
7.750%, 
4/15/2028
h
84,065
Comcast
Corporation
39,000
3.700%, 
4/15/2024
42,593
39,000
3.950%, 
10/15/2025
43,568
54,000
2.350%, 
1/15/2027
56,368
112,000
3.400%, 
4/1/2030
121,265
Consolidated
Communications,
Inc.
40,000
5.000%, 
10/1/2028
h
40,312
Cox
Communications,
Inc.
51,000
2.950%, 
6/30/2023
h
53,319
Crown
Castle
International
Corporation
45,000
3.800%, 
2/15/2028
49,022
CSC
Holdings,
LLC
50,000
5.500%, 
5/15/2026
h
51,550
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Communications
Services
(1.4%)
-
continued
$
130,000
5.375%, 
2/1/2028
h
$
136,662
Cumulus
Media
New
Holdings,
Inc.
60,000
6.750%, 
7/1/2026
h
61,125
Deutsche
Telekom
International
Finance
BV
34,000
2.485%, 
9/19/2023
h
35,409
Discovery
Communications,
LLC
45,000
2.950%, 
3/20/2023
47,015
DISH
DBS
Corporation
60,000
7.375%, 
7/1/2028
62,943
Embarq
Corporation
35,000
7.995%, 
6/1/2036
40,327
Entercom
Media
Corporation
60,000
6.500%, 
5/1/2027
h
62,025
Fox
Corporation
76,000
4.030%, 
1/25/2024
82,553
45,000
4.709%, 
1/25/2029
51,798
Front
Range
BidCo,
Inc.
100,000
4.000%, 
3/1/2027
h
98,250
60,000
6.125%, 
3/1/2028
h
61,575
Frontier
Communications
Corporation
60,000
5.875%, 
10/15/2027
h
63,600
25,000
6.750%, 
5/1/2029
h
26,367
GCI,
LLC
70,000
4.750%, 
10/15/2028
h
71,662
Hughes
Satellite
Systems
Corporation
40,000
6.625%, 
8/1/2026
44,324
iHeartCommunications,
Inc.
70,000
4.750%, 
1/15/2028
h
70,525
LCPR
Senior
Secured
Financing
DAC
60,000
6.750%, 
10/15/2027
h
63,969
Level
3
Financing,
Inc.
90,000
4.625%, 
9/15/2027
h
92,625
190,000
4.250%, 
7/1/2028
h
192,149
Liberty
Interactive,
LLC,
Convertible
118,000
3.500%, 
1/15/2031
117,410
Ligado
Networks,
LLC
35,000
0.000%,PIK
15.500%,
11/1/2023
c,h,m
32,794
Meredith
Corporation
70,000
6.500%, 
7/1/2025
h
75,102
Netflix,
Inc.
34,000
5.875%, 
2/15/2025
38,972
175,000
4.875%, 
4/15/2028
197,969
Nexstar
Escrow
Corporation
100,000
5.625%, 
7/15/2027
h
104,812
Nielsen
Finance,
LLC
30,000
5.625%, 
10/1/2028
h
31,537
NTT
Finance
Corporation
54,000
1.162%, 
4/3/2026
h
53,287
Omnicom
Group,
Inc.
45,000
4.200%, 
6/1/2030
50,641
Radiate
Holdco,
LLC
40,000
6.500%, 
9/15/2028
h
42,238
Scripps
Escrow
II,
Inc.
50,000
3.875%, 
1/15/2029
h
49,125
35,000
5.375%, 
1/15/2031
h
34,738
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
30
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Communications
Services
(1.4%)
-
continued
SFR
Group
SA
$
150,000
7.375%, 
5/1/2026
h
$
156,015
Sinclair
Television
Group,
Inc.
100,000
5.500%, 
3/1/2030
h
97,250
Sirius
XM
Radio,
Inc.
100,000
5.000%, 
8/1/2027
h
104,905
35,000
4.125%, 
7/1/2030
h
35,040
Sprint
Capital
Corporation
90,000
6.875%, 
11/15/2028
113,487
75,000
8.750%, 
3/15/2032
110,906
Sprint
Corporation
230,000
7.625%, 
2/15/2025
274,275
Terrier
Media
Buyer,
Inc.
50,000
8.875%, 
12/15/2027
h
53,803
T-Mobile
USA,
Inc.
52,000
3.500%, 
4/15/2025
h
56,102
68,000
3.750%, 
4/15/2027
h
74,335
89,000
3.875%, 
4/15/2030
h
96,597
55,000
2.875%, 
2/15/2031
53,158
United
States
Cellular
Corporation
60,000
6.700%, 
12/15/2033
72,671
Uniti
Group,
LP
35,000
6.500%, 
2/15/2029
h
34,563
Univision
Communications,
Inc.
120,000
6.625%, 
6/1/2027
h
128,151
VeriSign,
Inc.
60,000
4.750%, 
7/15/2027
63,675
Verizon
Communications,
Inc.
44,000
0.750%, 
3/22/2024
44,048
81,000
1.298%, 
(LIBOR
3M
+
1.100%),
5/15/2025
b
82,823
138,000
0.850%, 
11/20/2025
135,050
90,000
2.100%, 
3/22/2028
90,377
67,000
3.150%, 
3/22/2030
70,667
44,000
2.550%, 
3/21/2031
43,960
Viacom,
Inc.
44,000
5.875%, 
2/28/2057
b
44,718
ViaSat,
Inc.
100,000
5.625%, 
9/15/2025
h
101,646
VTR
Finance
NV
50,000
6.375%, 
7/15/2028
h
54,000
Walt
Disney
Company
90,000
1.750%, 
1/13/2026
92,054
45,000
3.800%, 
3/22/2030
50,157
Ziggo
BV
110,000
5.500%, 
1/15/2027
h
114,538
Total
6,444,693
Consumer
Cyclical
(1.8%)
1011778
B.C.,
ULC
110,000
4.375%, 
1/15/2028
h
110,519
Allied
Universal
Holdco,
LLC
70,000
6.625%, 
7/15/2026
h
74,234
Allison
Transmission,
Inc
100,000
3.750%, 
1/30/2031
h
96,875
Amazon.com,
Inc.
45,000
1.500%, 
6/3/2030
42,880
American
Axle
&
Manufacturing,
Inc.
110,000
6.500%, 
4/1/2027
g
114,125
American
Honda
Finance
Corporation
35,000
1.200%, 
7/8/2025
34,851
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Consumer
Cyclical
(1.8%)
-
continued
Best
Buy
Company,
Inc.
$
45,000
1.950%, 
10/1/2030
$
42,386
Bloomin'
Brands,
Inc.,
Convertible
66,000
5.000%, 
5/1/2025
h
159,307
BMW
Finance
NV
34,000
2.250%, 
8/12/2022
h
34,801
Booking
Holdings,
Inc.,
Convertible
40,000
0.900%, 
9/15/2021
46,880
Brookfield
Residential
Properties,
Inc.
150,000
6.250%, 
9/15/2027
h
156,562
Burlington
Stores,
Inc.,
Convertible
298,000
2.250%, 
4/15/2025
h
447,559
Caesars
Entertainment,
Inc.
25,000
8.125%, 
7/1/2027
h
27,569
Carnival
Corporation
70,000
11.500%, 
4/1/2023
h
80,237
50,000
10.500%, 
2/1/2026
h
58,812
20,000
7.625%, 
3/1/2026
h
21,486
80,000
5.750%, 
3/1/2027
h
82,100
Cedar
Fair,
LP
90,000
5.250%, 
7/15/2029
92,510
Cinemark
USA,
Inc.
80,000
5.875%, 
3/15/2026
h
81,915
Clarios
Global,
LP
35,000
8.500%, 
5/15/2027
h
37,669
Colt
Merger
Sub,
Inc.
150,000
6.250%, 
7/1/2025
h
159,902
D.R.
Horton,
Inc.
16,000
2.600%, 
10/15/2025
16,829
Daimler
Finance
North
America,
LLC
68,000
1.450%, 
3/2/2026
h
67,407
Dana,
Inc.
75,000
5.625%, 
6/15/2028
80,250
Darden
Restaurants,
Inc.
90,000
3.850%, 
5/1/2027
97,974
Dick's
Sporting
Goods,
Inc.,
Convertible
114,000
3.250%, 
4/15/2025
h
261,202
Empire
Communities
Corporation
70,000
7.000%, 
12/15/2025
h
73,762
Expedia
Group,
Inc.,
Convertible
158,000
Zero
Coupon, 
2/15/2026
h
172,457
Ford
Motor
Company
40,000
9.000%, 
4/22/2025
48,445
20,000
9.625%, 
4/22/2030
27,911
75,000
7.450%, 
7/16/2031
94,562
Ford
Motor
Company,
Convertible
315,000
Zero
Coupon, 
3/15/2026
h
318,150
Ford
Motor
Credit
Company,
LLC
240,000
4.063%, 
11/1/2024
251,772
190,000
4.134%, 
8/4/2025
198,726
Gap,
Inc.
40,000
8.625%, 
5/15/2025
h
44,790
General
Motors
Company
46,000
5.400%, 
10/2/2023
49,948
31,000
6.125%, 
10/1/2025
36,453
67,000
6.800%, 
10/1/2027
83,118
General
Motors
Financial
Company,
Inc.
43,000
3.150%, 
6/30/2022
44,210
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
31
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Consumer
Cyclical
(1.8%)
-
continued
$
68,000
3.950%, 
4/13/2024
$
73,184
48,000
2.900%, 
2/26/2025
50,327
35,000
2.750%, 
6/20/2025
36,537
Hanesbrands,
Inc.
100,000
4.875%, 
5/15/2026
h
107,250
Harley-Davidson
Financial
Services,
Inc.
52,000
4.050%, 
2/4/2022
h
53,471
Herc
Holdings,
Inc.
60,000
5.500%, 
7/15/2027
h
63,852
Hilton
Domestic
Operating
Company,
Inc.
180,000
4.875%, 
1/15/2030
190,944
Home
Depot,
Inc.
31,000
3.750%, 
2/15/2024
33,653
45,000
2.950%, 
6/15/2029
47,710
Hyundai
Capital
America
35,000
1.800%, 
10/15/2025
h
34,964
67,000
3.000%, 
2/10/2027
h
69,707
International
Game
Technology
plc
85,000
5.250%, 
1/15/2029
h
88,655
KB
Home
80,000
4.800%, 
11/15/2029
83,800
Kohl's
Corporation
91,000
9.500%, 
5/15/2025
117,993
45,000
3.375%, 
5/1/2031
45,035
L
Brands,
Inc.
110,000
6.625%, 
10/1/2030
h
125,598
20,000
6.875%, 
11/1/2035
23,836
Landry's,
Inc.
80,000
6.750%, 
10/15/2024
h
80,894
Lennar
Corporation
20,000
4.125%, 
1/15/2022
20,310
48,000
4.875%, 
12/15/2023
52,432
14,000
5.875%, 
11/15/2024
15,890
34,000
4.750%, 
5/30/2025
37,867
Levi
Strauss
&
Company
100,000
3.500%, 
3/1/2031
h
96,500
Live
Nation
Entertainment,
Inc.
50,000
3.750%, 
1/15/2028
h
49,312
Lowe's
Companies,
Inc.
31,000
4.000%, 
4/15/2025
34,297
45,000
4.500%, 
4/15/2030
51,907
Marriott
International,
Inc.
65,000
5.750%, 
5/1/2025
74,587
69,000
3.750%, 
10/1/2025
73,703
Mattamy
Group
Corporation
100,000
5.250%, 
12/15/2027
h
104,625
McDonald's
Corporation
134,000
3.800%, 
4/1/2028
148,326
MGM
Resorts
International
60,000
6.000%, 
3/15/2023
64,275
122,000
5.750%, 
6/15/2025
132,980
Nissan
Motor
Company,
Ltd.
54,000
3.043%, 
9/15/2023
h
56,495
O'Reilly
Automotive,
Inc.
67,000
3.900%, 
6/1/2029
73,420
PetSmart,
Inc.
60,000
4.750%, 
2/15/2028
h
61,363
50,000
7.750%, 
2/15/2029
h
54,123
Prime
Security
Services
Borrower,
LLC
165,000
5.750%, 
4/15/2026
h
178,538
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Consumer
Cyclical
(1.8%)
-
continued
Procter
&
Gamble
Company
$
45,000
1.200%, 
10/29/2030
$
41,642
Ralph
Lauren
Corporation
34,000
1.700%, 
6/15/2022
34,539
Real
Hero
Merger
Sub
2,
Inc.
50,000
6.250%, 
2/1/2029
h
51,625
Realogy
Group,
LLC
90,000
5.750%, 
1/15/2029
h
88,763
Rite
Aid
Corporation
35,000
7.500%, 
7/1/2025
h
36,356
Ross
Stores,
Inc.
45,000
1.875%, 
4/15/2031
42,214
Royal
Caribbean
Cruises,
Ltd.
100,000
9.125%, 
6/15/2023
h
110,193
40,000
11.500%, 
6/1/2025
h
46,650
35,000
5.500%, 
4/1/2028
h
35,175
Scientific
Games
International,
Inc.
110,000
5.000%, 
10/15/2025
h
113,927
80,000
7.250%, 
11/15/2029
h
86,800
SeaWorld
Parks
and
Entertainment,
Inc.
50,000
9.500%, 
8/1/2025
h
54,341
Six
Flags
Entertainment
Corporation
45,000
5.500%, 
4/15/2027
g,h
46,631
Six
Flags
Theme
Parks,
Inc.
50,000
7.000%, 
7/1/2025
h
54,063
Staples,
Inc.
130,000
7.500%, 
4/15/2026
h
137,118
Target
Corporation
45,000
2.350%, 
2/15/2030
45,623
Tenneco,
Inc.
50,000
5.000%, 
7/15/2026
g
47,125
TJX
Companies,
Inc.
31,000
3.500%, 
4/15/2025
33,794
Toll
Brothers
Finance
Corporation
68,000
5.875%, 
2/15/2022
69,700
Toyota
Motor
Credit
Corporation
52,000
0.450%, 
1/11/2024
51,858
69,000
0.800%, 
10/16/2025
67,798
Uber
Technologies,
Inc.
50,000
6.250%, 
1/15/2028
h
54,460
Under
Armour,
Inc.,
Convertible
40,000
1.500%, 
6/1/2024
h
78,375
VF
Corporation
35,000
2.050%, 
4/23/2022
35,573
Vista
Outdoor,
Inc.
80,000
4.500%, 
3/15/2029
h
79,156
Volkswagen
Group
of
America
Finance,
LLC
62,000
4.250%, 
11/13/2023
h
67,381
17,000
3.350%, 
5/13/2025
h
18,253
Wyndham
Destinations,
Inc.
60,000
6.625%, 
7/31/2026
h
68,121
Wyndham
Hotels
&
Resorts,
Inc.
35,000
4.375%, 
8/15/2028
h
35,403
Yum!
Brands,
Inc.
90,000
4.750%, 
1/15/2030
h
95,157
ZF
North
America
Capital,
Inc.
50,000
4.750%, 
4/29/2025
h
53,677
Total
8,560,996
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
32
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Consumer
Non-Cyclical
(1.8%)
Abbott
Laboratories
$
90,000
3.875%, 
9/15/2025
$
99,822
AbbVie,
Inc.
44,000
2.900%, 
11/6/2022
45,633
68,000
2.300%, 
11/21/2022
69,972
35,000
2.800%, 
3/15/2023
36,291
141,000
3.600%, 
5/14/2025
153,609
90,000
3.200%, 
11/21/2029
95,739
Agilent
Technologies,
Inc
45,000
2.300%, 
3/12/2031
43,818
Albertson's
Companies,
Inc.
140,000
3.500%, 
3/15/2029
h
133,230
50,000
4.875%, 
2/15/2030
h
51,400
Altria
Group,
Inc.
55,000
4.400%, 
2/14/2026
62,021
45,000
4.800%, 
2/14/2029
51,705
Amgen,
Inc.
67,000
2.450%, 
2/21/2030
67,464
Anheuser-Busch
Companies,
LLC
35,000
3.650%, 
2/1/2026
38,482
Anheuser-Busch
InBev
Worldwide,
Inc.
56,000
4.150%, 
1/23/2025
62,233
90,000
4.750%, 
1/23/2029
105,169
Anthem,
Inc.
79,000
2.375%, 
1/15/2025
82,565
45,000
2.550%, 
3/15/2031
45,007
Aramark
Services,
Inc.
50,000
6.375%, 
5/1/2025
h
53,000
AstraZeneca
plc
90,000
0.700%, 
4/8/2026
86,682
BAT
Capital
Corporation
56,000
3.222%, 
8/15/2024
59,660
BAT
International
Finance
plc
35,000
1.668%, 
3/25/2026
34,642
Bausch
Health
Companies,
Inc.
30,000
5.000%, 
1/30/2028
h
30,375
110,000
5.000%, 
2/15/2029
h
109,244
Becton,
Dickinson
and
Company
67,000
2.823%, 
5/20/2030
68,686
Boston
Scientific
Corporation
70,000
3.450%, 
3/1/2024
75,145
Bristol-Myers
Squibb
Company
90,000
3.200%, 
6/15/2026
97,897
68,000
3.900%, 
2/20/2028
76,493
Bunge,
Ltd.
Finance
Corporation
41,000
1.630%, 
8/17/2025
41,018
Callaway
Golf
Company,
Convertible
19,000
2.750%, 
5/1/2026
h
32,514
Cargill,
Inc.
35,000
1.375%, 
7/23/2023
h
35,719
Centene
Corporation
48,000
5.375%, 
8/15/2026
h
50,635
40,000
4.250%, 
12/15/2027
42,075
20,000
4.625%, 
12/15/2029
21,646
160,000
3.000%, 
10/15/2030
159,734
Central
Garden
&
Pet
Company
80,000
4.125%, 
10/15/2030
80,800
Cigna
Corporation
75,000
4.125%, 
11/15/2025
83,625
Coca-Cola
Company
67,000
1.500%, 
3/5/2028
65,877
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Consumer
Non-Cyclical
(1.8%)
-
continued
Community
Health
Systems,
Inc.
$
35,000
5.625%, 
3/15/2027
h
$
36,663
50,000
6.000%, 
1/15/2029
h
52,875
90,000
6.875%, 
4/15/2029
h
94,218
Conagra
Brands,
Inc.
37,000
4.300%, 
5/1/2024
40,800
Constellation
Brands,
Inc.
90,000
3.150%, 
8/1/2029
94,268
CVS
Health
Corporation
44,000
2.750%, 
12/1/2022
45,442
70,000
4.100%, 
3/25/2025
77,544
90,000
4.300%, 
3/25/2028
102,202
45,000
3.750%, 
4/1/2030
49,089
DaVita,
Inc.
110,000
4.625%, 
6/1/2030
h
112,075
Diageo
Capital
plc
42,000
1.375%, 
9/29/2025
42,390
Edgewell
Personal
Care
Company
50,000
5.500%, 
6/1/2028
h
52,800
Encompass
Health
Corporation
130,000
4.500%, 
2/1/2028
133,136
Endo
Finance,
LLC
50,000
9.500%, 
7/31/2027
h
54,313
Energizer
Holdings,
Inc.
85,000
4.375%, 
3/31/2029
h
85,298
Estee
Lauder
Companies,
Inc.
45,000
1.950%, 
3/15/2031
43,611
General
Mills,
Inc.
45,000
4.200%, 
4/17/2028
50,824
Gilead
Sciences,
Inc.
67,000
2.950%, 
3/1/2027
71,234
H.
J.
Heinz
Company
30,000
5.200%, 
7/15/2045
34,697
HCA,
Inc.
310,000
5.375%, 
2/1/2025
345,810
112,000
5.250%, 
6/15/2026
128,728
HLF
Financing
SARL,
LLC
70,000
7.250%, 
8/15/2026
h
73,325
Illumina,
Inc.
80,000
9.000%, 
7/1/2028
h
90,024
Illumina,
Inc.,
Convertible
24,000
0.500%, 
6/15/2021
36,090
Imperial
Brands
Finance
plc
34,000
3.125%, 
7/26/2024
h
35,931
Ionis
Pharmaceuticals,
Inc.,
Convertible
63,000
0.125%, 
12/15/2024
60,145
JBS
Investments
II
GmbH
10,000
5.750%, 
1/15/2028
h
10,550
JBS
USA,
LLC
110,000
5.500%, 
1/15/2030
h
121,742
Keurig
Dr
Pepper,
Inc.
90,000
2.250%, 
3/15/2031
88,485
Kraft
Foods
Group,
Inc.
120,000
5.000%, 
6/4/2042
135,048
Kraft
Heinz
Foods
Company
120,000
4.625%, 
1/30/2029
134,680
140,000
3.750%, 
4/1/2030
148,589
50,000
4.250%, 
3/1/2031
55,047
Kroger
Company
45,000
4.500%, 
1/15/2029
52,160
Mattel,
Inc.
95,000
3.375%, 
4/1/2026
h
98,082
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
33
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Consumer
Non-Cyclical
(1.8%)
-
continued
McKesson
Corporation
$
35,000
0.900%, 
12/3/2025
$
34,272
45,000
3.950%, 
2/16/2028
50,307
Medtronic,
Inc.
10,000
3.500%, 
3/15/2025
10,968
Molina
Healthcare,
Inc.
90,000
4.375%, 
6/15/2028
h
92,606
MPH
Acquisition
Holdings,
LLC
60,000
5.750%, 
11/1/2028
g,h
58,500
Mylan,
Inc.
34,000
4.200%, 
11/29/2023
36,680
Novartis
Capital
Corporation
30,000
1.750%, 
2/14/2025
30,888
117,000
3.000%, 
11/20/2025
126,304
Ortho-Clinical
Diagnostics,
Inc.
50,000
7.250%, 
2/1/2028
h
54,783
Par
Pharmaceutical,
Inc.
110,000
7.500%, 
4/1/2027
h
116,672
PepsiCo,
Inc.
67,000
1.625%, 
5/1/2030
64,050
Philip
Morris
International,
Inc.
97,000
1.500%, 
5/1/2025
98,319
Pilgrim's
Pride
Corporation
50,000
5.875%, 
9/30/2027
h
53,585
QBE
Insurance
Group,
Ltd.
84,000
5.875%, 
5/12/2025
b,h,j
90,405
Royalty
Pharma
plc
105,000
1.200%, 
9/2/2025
h
102,828
Scotts
Miracle-Gro
Company
110,000
4.500%, 
10/15/2029
113,405
SEG
Holding,
LLC
100,000
5.625%, 
10/15/2028
h
104,750
Simmons
Foods,
Inc.
50,000
4.625%, 
3/1/2029
h
50,439
Spectrum
Brands,
Inc.
50,000
5.000%, 
10/1/2029
h
52,750
40,000
5.500%, 
7/15/2030
h
42,800
Stryker
Corporation
45,000
3.650%, 
3/7/2028
49,711
Syneos
Health,
Inc.
80,000
3.625%, 
1/15/2029
h
77,800
Sysco
Corporation
65,000
5.650%, 
4/1/2025
75,582
45,000
5.950%, 
4/1/2030
56,231
Teleflex,
Inc.
120,000
4.625%, 
11/15/2027
127,050
Tenet
Healthcare
Corporation
60,000
4.625%, 
7/15/2024
61,241
170,000
5.125%, 
11/1/2027
h
177,769
35,000
6.125%, 
10/1/2028
h
36,531
Teva
Pharmaceutical
Finance
Netherlands
III
BV
17,000
2.200%, 
7/21/2021
16,979
125,000
2.800%, 
7/21/2023
124,444
Thermo
Fisher
Scientific,
Inc.
31,000
4.133%, 
3/25/2025
34,424
United
Natural
Foods,
Inc.
70,000
6.750%, 
10/15/2028
h
74,813
UnitedHealth
Group,
Inc.
112,000
3.850%, 
6/15/2028
125,733
Upjohn,
Inc.
35,000
1.650%, 
6/22/2025
h
35,124
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Consumer
Non-Cyclical
(1.8%)
-
continued
VRX
Escrow
Corporation
$
250,000
6.125%, 
4/15/2025
h
$
256,300
Winnebago
Industries,
Inc.,
Convertible
139,000
1.500%, 
4/1/2025
192,515
Zoetis,
Inc.
52,000
3.250%, 
2/1/2023
54,191
68,000
3.900%, 
8/20/2028
75,614
Total
8,474,905
Energy
(1.5%)
Antero
Midstream
Partners,
LP
40,000
5.750%, 
3/1/2027
h
40,009
Antero
Resources
Corporation
75,000
5.000%, 
3/1/2025
75,058
Apache
Corporation
70,000
4.375%, 
10/15/2028
69,790
60,000
5.100%, 
9/1/2040
58,650
Archrock
Partners,
LP
70,000
6.250%, 
4/1/2028
h
71,106
BP
Capital
Markets
America,
Inc.
58,000
2.520%, 
9/19/2022
59,642
33,000
2.937%, 
4/6/2023
34,662
107,000
4.234%, 
11/6/2028
121,391
BP
Capital
Markets
plc
84,000
4.875%, 
3/22/2030
b,j
89,985
Buckeye
Partners,
LP
80,000
4.125%, 
3/1/2025
h
81,623
Canadian
Natural
Resources,
Ltd.
113,000
2.050%, 
7/15/2025
114,265
Cenovus
Energy,
Inc.
124,000
5.375%, 
7/15/2025
139,353
Centennial
Resource
Production,
LLC
70,000
6.875%, 
4/1/2027
h
62,300
Cheniere
Corpus
Christi
Holdings,
LLC
92,000
5.875%, 
3/31/2025
104,840
Cheniere
Energy
Partners,
LP
165,000
5.625%, 
10/1/2026
172,540
Cheniere
Energy,
Inc.,
Convertible
34,000
4.250%, 
3/15/2045
27,777
Chevron
Corporation
17,000
1.141%, 
5/11/2023
17,295
34,000
1.554%, 
5/11/2025
34,694
Chevron
USA,
Inc.
55,000
3.900%, 
11/15/2024
60,559
Cimarex
Energy
Company
90,000
4.375%, 
6/1/2024
97,881
CNX
Resources
Corporation
45,000
6.000%, 
1/15/2029
h
46,763
Comstock
Resources,
Inc.
50,000
9.750%, 
8/15/2026
54,250
Continental
Resources,
Inc.
11,000
4.500%, 
4/15/2023
11,393
40,000
4.375%, 
1/15/2028
42,060
50,000
5.750%, 
1/15/2031
h
56,493
Devon
Energy
Corporation
35,000
5.850%, 
12/15/2025
40,811
Diamondback
Energy,
Inc.
34,000
2.875%, 
12/1/2024
35,854
22,000
3.125%, 
3/24/2031
21,964
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
34
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Energy
(1.5%)
-
continued
Enagas
SA
$
105,000
5.500%, 
1/15/2028
h
$
102,548
Enbridge,
Inc.
45,000
3.700%, 
7/15/2027
48,939
267,000
6.250%, 
3/1/2078
b
279,523
Encana
Corporation
40,000
6.625%, 
8/15/2037
48,102
Endeavor
Energy
Resources,
LP
60,000
5.750%, 
1/30/2028
h
63,379
Energean
Israel
Finance,
Ltd.
70,000
4.500%, 
3/30/2024
h
70,356
Energy
Transfer
Operating,
LP
41,000
4.200%, 
9/15/2023
43,906
98,000
5.875%, 
1/15/2024
109,091
80,000
6.625%, 
2/15/2028
b,j
70,800
67,000
3.750%, 
5/15/2030
69,075
EnLink
Midstream
Partners,
LP
70,000
4.850%, 
7/15/2026
67,622
45,000
5.600%, 
4/1/2044
37,350
Enterprise
Products
Operating,
LLC
45,000
4.150%, 
10/16/2028
50,702
EOG
Resources,
Inc.
65,000
2.625%, 
3/15/2023
67,475
EQM
Midstream
Partners,
LP
80,000
6.500%, 
7/1/2027
h
86,980
40,000
6.500%, 
7/15/2048
39,900
EQT
Corporation
95,000
3.900%, 
10/1/2027
96,900
EQT
Corporation,
Convertible
117,000
1.750%, 
5/1/2026
h
171,850
Equinor
ASA
31,000
2.875%, 
4/6/2025
33,101
Exxon
Mobil
Corporation
90,000
2.992%, 
3/19/2025
96,443
Genesis
Energy,
LP
40,000
6.500%, 
10/1/2025
39,210
Harvest
Midstream,
LP
80,000
7.500%, 
9/1/2028
h
85,976
Hess
Corporation
28,000
3.500%, 
7/15/2024
29,541
Hess
Midstream
Operations,
LP
60,000
5.625%, 
2/15/2026
h
61,800
Hilcorp
Energy
I,
LP
70,000
5.750%, 
2/1/2029
h
70,612
Kinder
Morgan
Energy
Partners,
LP
68,000
3.450%, 
2/15/2023
71,193
Marathon
Oil
Corporation
45,000
4.400%, 
7/15/2027
49,537
Marathon
Petroleum
Corporation
35,000
4.750%, 
12/15/2023
38,441
34,000
4.700%, 
5/1/2025
38,213
MPLX,
LP
113,000
1.750%, 
3/1/2026
113,173
Murphy
Oil
Corporation
50,000
5.875%, 
12/1/2027
49,000
Nabors
Industries,
Ltd.
60,000
7.250%, 
1/15/2026
h
49,800
National
Fuel
Gas
Company
90,000
5.500%, 
1/15/2026
102,856
Newfield
Exploration
Company
97,000
5.625%, 
7/1/2024
106,635
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Energy
(1.5%)
-
continued
NGL
Energy
Operating,
LLC
$
50,000
7.500%, 
2/1/2026
h
$
51,375
NGL
Energy
Partners,
LP
50,000
7.500%, 
11/1/2023
48,250
NuStar
Logistics,
LP
90,000
5.750%, 
10/1/2025
96,347
Occidental
Petroleum
Corporation
60,000
3.450%, 
7/15/2024
60,000
140,000
2.900%, 
8/15/2024
138,466
50,000
3.400%, 
4/15/2026
48,550
25,000
8.500%, 
7/15/2027
29,625
80,000
3.500%, 
8/15/2029
75,064
50,000
6.450%, 
9/15/2036
55,188
120,000
4.400%, 
4/15/2046
102,773
ONEOK,
Inc.
68,000
2.200%, 
9/15/2025
69,236
Ovintiv,
Inc.
30,000
7.375%, 
11/1/2031
38,160
PBF
Holding
Company,
LLC
70,000
9.250%, 
5/15/2025
h
71,466
PDC
Energy,
Inc.,
Convertible
9,000
1.125%, 
9/15/2021
8,921
Pioneer
Natural
Resources
Company
68,000
1.900%, 
8/15/2030
63,108
Pioneer
Natural
Resources
Company,
Convertible
94,000
0.250%, 
5/15/2025
h
147,204
Plains
All
American
Pipeline,
LP
111,000
4.650%, 
10/15/2025
121,625
Range
Resources
Corporation
40,000
9.250%, 
2/1/2026
43,461
40,000
8.250%, 
1/15/2029
h
42,800
Sabine
Pass
Liquefaction,
LLC
67,000
4.200%, 
3/15/2028
73,504
Schlumberger
Finance
Canada,
Ltd.
35,000
1.400%, 
9/17/2025
35,030
Schlumberger
Holdings
Corporation
29,000
4.300%, 
5/1/2029
h
32,220
Shell
International
Finance
BV
31,000
2.375%, 
4/6/2025
32,676
Southwestern
Energy
Company
75,000
7.500%, 
4/1/2026
79,351
Suncor
Energy,
Inc.
34,000
3.100%, 
5/15/2025
36,310
Sunoco,
LP
90,000
5.875%, 
3/15/2028
94,197
Targa
Resources
Partners,
LP
40,000
5.375%, 
2/1/2027
41,483
20,000
5.000%, 
1/15/2028
20,825
Teine
Energy,
Ltd.
70,000
6.875%, 
4/15/2029
e,h
70,847
Transocean
Guardian,
Ltd.
50,751
5.875%, 
1/15/2024
h
44,407
Transocean
Proteus,
Ltd.
30,000
6.250%, 
12/1/2024
h
28,500
USA
Compression
Partners,
LP
40,000
6.875%, 
4/1/2026
41,025
Vine
Energy
Holdings,
LLC
45,000
6.750%, 
4/15/2029
e,h
45,000
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
35
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Energy
(1.5%)
-
continued
W&T
Offshore,
Inc.
$
75,000
9.750%, 
11/1/2023
h
$
66,352
Weatherford
International,
Ltd.
80,000
8.750%, 
9/1/2024
h
83,688
60,000
11.000%, 
12/1/2024
h
57,600
Western
Gas
Partners,
LP
44,000
4.000%, 
7/1/2022
45,101
Western
Midstream
Operating,
LP
50,000
4.350%, 
2/1/2025
51,750
70,000
3.950%, 
6/1/2025
71,891
30,000
5.500%, 
8/15/2048
29,524
Williams
Companies,
Inc.
45,000
2.600%, 
3/15/2031
43,984
Williams
Partners,
LP
50,000
4.500%, 
11/15/2023
54,449
WPX
Energy,
Inc.
35,000
5.250%, 
9/15/2024
38,806
Total
6,933,176
Financials
(4.2%)
ACE
INA
Holdings,
Inc.
65,000
2.875%, 
11/3/2022
67,230
AerCap
Ireland
Capital
DAC
59,000
3.150%, 
2/15/2024
61,475
63,000
6.500%, 
7/15/2025
73,444
Air
Lease
Corporation
64,000
4.650%, 
6/15/2026
b,j
63,200
Aircastle,
Ltd.
80,000
5.000%, 
4/1/2023
85,268
Ally
Financial,
Inc.
75,000
5.750%, 
11/20/2025
85,206
45,000
8.000%, 
11/1/2031
62,670
American
Express
Company
34,000
3.700%, 
8/3/2023
36,391
35,000
3.400%, 
2/22/2024
37,666
American
International
Group,
Inc.
90,000
4.200%, 
4/1/2028
101,073
Ares
Capital
Corporation
18,000
4.250%, 
3/1/2025
19,311
113,000
3.875%, 
1/15/2026
119,090
Ares
Capital
Corporation,
Convertible
58,000
4.625%, 
3/1/2024
63,040
Athene
Global
Funding
60,000
4.000%, 
1/25/2022
h
61,744
Australia
and
New
Zealand
Banking
Group,
Ltd.
102,000
2.950%, 
7/22/2030
b,h
105,418
Aviation
Capital
Group,
LLC
46,000
5.500%, 
12/15/2024
h
51,434
Avolon
Holdings
Funding,
Ltd.
18,000
5.250%, 
5/15/2024
h
19,442
49,000
4.250%, 
4/15/2026
h
51,323
BAC
Capital
Trust
XIV
92,000
4.000%, 
(LIBOR
3M
+
0.400%),
4/19/2021
b,j
90,390
Banco
Santander
Mexico
SA
17,000
5.375%, 
4/17/2025
h
19,088
Bank
of
America
Corporation
55,000
3.004%, 
12/20/2023
b
57,202
115,000
3.550%, 
3/5/2024
b
121,334
143,000
3.864%, 
7/23/2024
b
153,163
70,000
4.200%, 
8/26/2024
77,207
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Financials
(4.2%)
-
continued
$
83,000
6.100%, 
9/5/2024
b,j
$
92,130
288,000
6.250%, 
3/5/2025
b,j
318,758
35,000
3.458%, 
3/15/2025
b
37,582
85,000
1.319%, 
6/19/2026
b
84,741
141,000
1.197%, 
10/24/2026
b
139,172
62,000
5.875%, 
3/15/2028
b,j
67,622
134,000
3.593%, 
7/21/2028
b
145,430
179,000
3.974%, 
2/7/2030
b
198,670
Bank
of
Montreal
105,000
3.300%, 
2/5/2024
112,626
Bank
of
New
York
Mellon
Corporation
42,000
4.700%, 
9/20/2025
b,j
45,505
63,000
3.400%, 
1/29/2028
68,898
Bank
of
Nova
Scotia
126,000
4.900%, 
6/4/2025
b,j
133,954
45,000
1.050%, 
3/2/2026
44,284
Barclays
plc
65,000
4.610%, 
2/15/2023
b
67,157
81,000
4.338%, 
5/16/2024
b
86,733
85,000
8.000%, 
6/15/2024
b,j
94,350
34,000
4.375%, 
9/11/2024
37,161
41,000
2.852%, 
5/7/2026
b
42,920
68,000
4.972%, 
5/16/2029
b
78,189
BB&T
Corporation
34,000
2.500%, 
8/1/2024
35,797
BNP
Paribas
SA
38,000
2.819%, 
11/19/2025
b,h
40,001
Boston
Properties,
LP
45,000
2.550%, 
4/1/2032
43,140
BPCE
SA
35,000
3.000%, 
5/22/2022
h
36,006
32,000
2.375%, 
1/14/2025
h
33,060
Brixmor
Operating
Partnership,
LP
45,000
2.250%, 
4/1/2028
44,155
Burford
Capital
Global
Finance,
LLC
40,000
6.250%, 
4/15/2028
e,h
41,000
Canadian
Imperial
Bank
of
Commerce
32,000
2.250%, 
1/28/2025
33,185
CANPACK
SA
90,000
3.125%, 
11/1/2025
h
91,350
Capital
One
Bank
USA
NA
52,000
3.375%, 
2/15/2023
54,620
48,000
2.280%, 
1/28/2026
b
49,269
Cascades
USA,
Inc.
60,000
5.125%, 
1/15/2026
h
63,675
Central
Fidelity
Capital
Trust
I
135,000
1.241%, 
(LIBOR
3M
+
1.000%),
4/15/2027
b
128,997
Charles
Schwab
Corporation
128,000
5.375%, 
6/1/2025
b,j
141,398
128,000
4.000%, 
6/1/2026
b,j
129,894
66,000
2.000%, 
3/20/2028
66,293
Chobani,
LLC
100,000
4.625%, 
11/15/2028
h
102,000
CIT
Group,
Inc.
90,000
5.250%, 
3/7/2025
101,362
Citigroup,
Inc.
43,000
2.750%, 
4/25/2022
44,021
83,000
3.142%, 
1/24/2023
b
84,723
168,000
5.950%, 
1/30/2023
b,j
176,254
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
36
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Financials
(4.2%)
-
continued
$
102,000
5.000%, 
9/12/2024
b,j
$
105,091
105,000
3.352%, 
4/24/2025
b
112,372
32,000
5.950%, 
5/15/2025
b,j
34,480
85,000
5.500%, 
9/13/2025
98,521
84,000
4.000%, 
12/10/2025
b,j
84,819
200,000
3.875%, 
2/18/2026
b,j
199,066
159,000
1.122%, 
1/28/2027
b
155,529
180,000
4.075%, 
4/23/2029
b
200,250
CNA
Financial
Corporation
40,000
3.950%, 
5/15/2024
43,453
Comerica,
Inc.
42,000
5.625%, 
7/1/2025
b,j
46,252
Commonwealth
Bank
of
Australia
54,000
2.688%, 
3/11/2031
h
52,435
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
86,000
3.950%, 
11/9/2022
90,550
Cooperatieve
Rabobank
UA
35,000
1.339%, 
6/24/2026
b,h
34,707
Corporate
Office
Properties,
LP
35,000
2.250%, 
3/15/2026
35,566
Credit
Acceptance
Corporation
70,000
5.125%, 
12/31/2024
h
71,400
Credit
Agricole
SA
45,000
3.250%, 
1/14/2030
h
46,261
Credit
Suisse
Group
AG
49,000
6.500%, 
8/8/2023
h
53,888
22,000
7.500%, 
12/11/2023
b,h,j
23,811
34,000
2.593%, 
9/11/2025
b,h
35,257
46,000
3.869%, 
1/12/2029
b,h
49,324
Credit
Suisse
Group
Funding
(Guernsey),
Ltd.
132,000
3.800%, 
9/15/2022
137,483
Dai-ichi
Life
Insurance
Company,
Ltd.
238,000
5.100%, 
10/28/2024
b,g,h,j
263,287
Danske
Bank
AS
61,000
5.000%, 
1/12/2023
b,h
62,939
Deutsche
Bank
AG
152,000
2.129%, 
11/24/2026
b
152,382
Digital
Realty
Trust,
LP
67,000
3.700%, 
8/15/2027
73,861
Discover
Bank
90,000
4.682%, 
8/9/2028
b
95,994
Drawbridge
Special
Opportunities
Fund,
LP
100,000
3.875%, 
2/15/2026
h
102,576
Duke
Realty,
LP
67,000
4.000%, 
9/15/2028
74,318
ESH
Hospitality,
Inc.
70,000
5.250%, 
5/1/2025
h
71,400
30,000
4.625%, 
10/1/2027
h
31,729
Fidelity
National
Financial,
Inc.
57,000
5.500%, 
9/1/2022
60,861
Fifth
Third
Bancorp
84,000
4.500%, 
9/30/2025
b,j
89,208
Fifth
Third
Bank
NA
46,000
3.850%, 
3/15/2026
50,638
First
Horizon
National
Corporation
41,000
3.550%, 
5/26/2023
43,340
FNB
Corporation
64,000
2.200%, 
2/24/2023
65,249
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Financials
(4.2%)
-
continued
Fortress
Transportation
$
50,000
6.500%, 
10/1/2025
h
$
52,250
FTI
Consulting,
Inc.,
Convertible
146,000
2.000%, 
8/15/2023
212,868
GE
Capital
Funding,
LLC
22,000
4.050%, 
5/15/2027
h
24,514
45,000
4.400%, 
5/15/2030
h
50,947
Global
Net
Lease,
Inc.
75,000
3.750%, 
12/15/2027
h
73,104
Goldman
Sachs
Group,
Inc.
67,000
0.627%, 
11/17/2023
b
67,012
70,000
3.625%, 
2/20/2024
75,330
206,000
5.500%, 
8/10/2024
b,j
222,480
31,000
3.500%, 
4/1/2025
33,586
49,000
3.272%, 
9/29/2025
b
52,580
52,000
4.250%, 
10/21/2025
58,042
51,000
0.855%, 
2/12/2026
b
50,128
90,000
3.814%, 
4/23/2029
b
98,606
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Convertible
136,000
4.125%, 
9/1/2022
280,337
Hartford
Financial
Services
Group,
Inc.
45,000
2.800%, 
8/19/2029
46,680
66,000
2.319%, 
(LIBOR
3M
+
2.125%),
2/12/2047
b,h
63,358
Healthpeak
Properties,
Inc.
46,000
4.000%, 
6/1/2025
50,846
HSBC
Holdings
plc
88,000
6.875%, 
6/1/2021
b,j
88,766
65,000
3.803%, 
3/11/2025
b
70,190
20,000
6.375%, 
3/30/2025
b,j
22,040
39,000
2.633%, 
11/7/2025
b
40,759
41,000
1.645%, 
4/18/2026
b
41,025
41,000
1.589%, 
5/24/2027
b
40,349
91,000
6.500%, 
3/23/2028
b,j
102,034
126,000
4.583%, 
6/19/2029
b
141,598
112,000
4.600%, 
12/17/2030
b,j
110,740
Huntington
Bancshares,
Inc.
126,000
4.450%, 
10/15/2027
b,j
131,191
Icahn
Enterprises,
LP
90,000
6.375%, 
12/15/2025
92,925
60,000
6.250%, 
5/15/2026
62,850
Intercontinental
Exchange,
Inc.
34,000
0.700%, 
6/15/2023
34,091
Iron
Mountain,
Inc.
80,000
4.875%, 
9/15/2027
h
81,850
iStar,
Inc.
70,000
4.250%, 
8/1/2025
70,483
iStar,
Inc.,
Convertible
76,000
3.125%, 
9/15/2022
100,130
J.P.
Morgan
Chase
&
Company
99,000
2.776%, 
4/25/2023
b
101,382
84,000
6.000%, 
8/1/2023
b,j
88,052
84,000
6.750%, 
2/1/2024
b,j
91,980
24,000
1.514%, 
6/1/2024
b
24,498
46,000
5.000%, 
8/1/2024
b,j
47,552
70,000
3.875%, 
9/10/2024
76,741
145,000
4.023%, 
12/5/2024
b
157,314
258,000
4.600%, 
2/1/2025
b,j
260,903
31,000
2.083%, 
4/22/2026
b
31,839
190,000
1.045%, 
11/19/2026
b
185,574
134,000
4.005%, 
4/23/2029
b
149,434
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
37
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Financials
(4.2%)
-
continued
$
179,000
4.493%, 
3/24/2031
b
$
206,239
KeyBank
NA
67,000
3.900%, 
4/13/2029
73,213
Kilroy
Realty,
LP
39,000
4.375%, 
10/1/2025
42,876
Lincoln
National
Corporation
45,000
3.800%, 
3/1/2028
49,731
50,000
2.549%, 
(LIBOR
3M
+
2.358%),
5/17/2066
b
42,869
Lloyds
Banking
Group
plc
51,000
2.858%, 
3/17/2023
b
52,073
65,000
3.900%, 
3/12/2024
70,557
90,000
1.627%, 
5/11/2027
b
89,346
156,000
6.657%, 
5/21/2037
b,h,j
201,240
LPL
Holdings,
Inc.
60,000
4.000%, 
3/15/2029
h
60,450
Mastercard,
Inc.
45,000
1.900%, 
3/15/2031
44,232
MetLife,
Inc.
84,000
3.850%, 
9/15/2025
b,j
86,730
164,000
5.875%, 
3/15/2028
b,g,j
181,630
MGIC
Investment
Corporation,
Convertible
100,000
9.000%, 
4/1/2063
h
134,250
MGM
Growth
Properties
Operating
Partnership,
LP
90,000
4.625%, 
6/15/2025
h
94,923
Mid-America
Apartments,
LP
90,000
4.200%, 
6/15/2028
100,642
Mitsubishi
UFJ
Financial
Group,
Inc.
53,000
2.623%, 
7/18/2022
54,463
83,000
3.455%, 
3/2/2023
87,517
35,000
3.407%, 
3/7/2024
37,581
41,000
1.412%, 
7/17/2025
40,972
67,000
3.741%, 
3/7/2029
72,754
Mizuho
Financial
Group,
Inc.
53,000
2.721%, 
7/16/2023
b
54,443
67,000
3.153%, 
7/16/2030
b
70,047
Morgan
Stanley
10,000
4.875%, 
11/1/2022
10,662
84,000
3.125%, 
1/23/2023
87,952
66,000
4.100%, 
5/22/2023
70,576
34,000
0.560%, 
11/10/2023
b
34,011
34,000
2.720%, 
7/22/2025
b
35,867
24,000
5.000%, 
11/24/2025
27,583
69,000
2.188%, 
4/28/2026
b
71,293
103,000
0.985%, 
12/10/2026
b
100,538
134,000
3.622%, 
4/1/2031
b
145,490
MPT
Operating
Partnership,
LP
50,000
5.250%, 
8/1/2026
51,625
30,000
4.625%, 
8/1/2029
31,561
National
Retail
Properties,
Inc.
45,000
2.500%, 
4/15/2030
44,126
Natwest
Group
plc
35,000
6.125%, 
12/15/2022
37,958
35,000
6.100%, 
6/10/2023
38,733
45,000
4.892%, 
5/18/2029
b
51,266
NFP
Corporation
30,000
6.875%, 
8/15/2028
h
31,125
Nippon
Life
Insurance
Company
168,000
5.100%, 
10/16/2044
b,h
185,640
129,000
3.400%, 
1/23/2050
b,h
131,258
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Financials
(4.2%)
-
continued
Omega
Healthcare
Investors,
Inc.
$
34,000
5.250%, 
1/15/2026
$
38,435
46,000
4.750%, 
1/15/2028
50,524
Owl
Rock
Technology
Finance
Corporation
67,000
3.750%, 
6/17/2026
h
68,518
Park
Aerospace
Holdings,
Ltd.
17,000
4.500%, 
3/15/2023
h
17,754
PayPal
Holdings,
Inc.
68,000
1.650%, 
6/1/2025
69,251
45,000
2.850%, 
10/1/2029
46,883
Pebblebrook
Hotel
Trust,
Convertible
172,000
1.750%, 
12/15/2026
201,240
PennyMac
Financial
Services,
Inc.
60,000
4.250%, 
2/15/2029
h
57,375
Pine
Street
Trust
I
45,000
4.572%, 
2/15/2029
h
50,564
Playtika
Holding
Corporation
20,000
4.250%, 
3/15/2029
h
19,704
PNC
Bank
NA
45,000
2.700%, 
10/22/2029
45,994
Preferred
Term
Securities
XXIII,
Ltd.
40,137
0.384%, 
(LIBOR
3M
+
0.200%),
12/22/2036
b,h
33,699
Provident
Financing
Trust
I
42,000
7.405%, 
3/15/2038
48,397
Prudential
Financial,
Inc.
75,000
5.625%, 
6/15/2043
b
80,373
201,000
5.200%, 
3/15/2044
b
214,032
42,000
3.700%, 
10/1/2050
b
42,470
Quicken
Loans,
LLC
60,000
3.625%, 
3/1/2029
h
57,750
Regions
Financial
Corporation
41,000
3.800%, 
8/14/2023
43,977
84,000
5.750%, 
6/15/2025
b,j
92,505
Reinsurance
Group
of
America,
Inc.
64,000
4.700%, 
9/15/2023
70,105
Royal
Bank
of
Scotland
Group
plc
84,000
8.625%, 
8/15/2021
b,j
85,995
65,000
4.269%, 
3/22/2025
b
70,907
25,000
3.754%, 
11/1/2029
b
26,571
Santander
Holdings
USA,
Inc.
90,000
3.450%, 
6/2/2025
96,449
Santander
UK
Group
Holdings
plc
67,000
3.823%, 
11/3/2028
b
73,152
Service
Properties
Trust
60,000
4.500%, 
6/15/2023
60,952
20,000
4.750%, 
10/1/2026
19,500
50,000
5.500%, 
12/15/2027
52,887
Simon
Property
Group,
LP
68,000
2.000%, 
9/13/2024
70,378
45,000
2.650%, 
7/15/2030
45,107
Societe
Generale
SA
39,000
2.625%, 
10/16/2024
h
40,692
84,000
8.000%, 
9/29/2025
b,h,j
98,515
41,000
1.488%, 
12/14/2026
b,h
40,287
Springleaf
Finance
Corporation
90,000
6.875%, 
3/15/2025
102,368
100,000
7.125%, 
3/15/2026
115,335
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
38
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Financials
(4.2%)
-
continued
Standard
Chartered
plc
$
52,000
1.319%, 
10/14/2023
b,h
$
52,330
41,000
0.991%, 
1/12/2025
b,h
40,768
Starwood
Property
Trust,
Inc.,
Convertible
60,000
4.375%, 
4/1/2023
62,514
State
Street
Corporation
31,000
2.354%, 
11/1/2025
b
32,606
Sumitomo
Mitsui
Financial
Group,
Inc.
43,000
2.784%, 
7/12/2022
44,271
42,000
2.778%, 
10/18/2022
43,441
39,000
2.448%, 
9/27/2024
40,859
67,000
3.544%, 
1/17/2028
72,489
67,000
2.142%, 
9/23/2030
62,809
Sumitomo
Mitsui
Trust
Bank,
Ltd.
35,000
1.050%, 
9/12/2025
h
34,430
Summit
Hotel
Properties,
Inc.,
Convertible
79,000
1.500%, 
2/15/2026
87,048
Synchrony
Financial
38,000
4.250%, 
8/15/2024
41,337
90,000
3.700%, 
8/4/2026
96,844
Truist
Bank
42,000
2.250%, 
3/11/2030
40,982
Truist
Financial
Corporation
189,000
4.950%, 
9/1/2025
b,j
204,829
UBS
Group
AG
42,000
1.364%, 
1/30/2027
b,h
41,389
USB
Realty
Corporation
184,000
1.388%, 
(LIBOR
3M
+
1.147%),
1/15/2022
b,h,j
142,600
Ventas
Realty,
LP
35,000
3.750%, 
5/1/2024
37,764
VEREIT
Operating
Partnership,
LP
67,000
3.950%, 
8/15/2027
73,521
VICI
Properties,
LP
50,000
4.250%, 
12/1/2026
h
51,154
30,000
3.750%, 
2/15/2027
h
30,000
50,000
4.625%, 
12/1/2029
h
51,868
Wachovia
Capital
Trust
II
50,000
0.741%, 
(LIBOR
3M
+
0.500%),
1/15/2027
b
47,925
Wells
Fargo
&
Company
70,000
4.125%, 
8/15/2023
75,728
38,000
3.750%, 
1/24/2024
41,092
40,000
1.654%, 
6/2/2024
b
40,862
68,000
2.406%, 
10/30/2025
b
71,028
116,000
3.900%, 
3/15/2026
b,j
117,148
119,000
2.188%, 
4/30/2026
b
122,818
90,000
4.478%, 
4/4/2031
b
103,641
Welltower,
Inc.
45,000
2.800%, 
6/1/2031
44,727
Westpac
Banking
Corporation
67,000
4.110%, 
7/24/2034
b
71,543
Willis
North
America,
Inc.
90,000
4.500%, 
9/15/2028
102,349
Total
19,735,547
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Foreign
Government
(<0.1%)
Sinopec
Group
Overseas
Development
2018,
Ltd.
$
42,000
2.150%, 
5/13/2025
h
$
42,643
Total
42,643
Mortgage-Backed
Securities
(8.4%)
Federal
Home
Loan
Mortgage
Corporation
673,916
3.500%, 
8/15/2035,
Ser.
345,
Class
C8
k
77,470
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
575,431
3.000%, 
3/25/2050
600,564
64,292
3.500%, 
7/1/2047
68,252
Federal
National
Mortgage
Association
174,981
4.500%, 
5/1/2048
190,993
256,265
3.500%, 
10/1/2048
270,675
45,981
3.500%, 
6/1/2049
48,669
295,085
3.500%, 
8/1/2049
312,279
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
3,850,000
1.500%, 
4/1/2036
e
3,867,381
7,650,000
2.000%, 
4/1/2036
e
7,850,985
4,950,000
2.500%, 
4/1/2036
e
5,150,127
3,260,000
2.000%, 
5/1/2036
e
3,341,540
1,000,000
2.500%, 
5/1/2036
e
1,039,961
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,050,000
2.000%, 
4/1/2051
e
2,046,156
2,325,000
2.500%, 
4/1/2051
e
2,385,850
3,725,000
2.000%, 
5/1/2051
e
3,711,177
7,750,000
2.500%, 
5/1/2051
e
7,936,182
473,876
4.000%, 
7/1/2048
508,621
Total
39,406,882
Technology
(1.3%)
Akamai
Technologies,
Inc.,
Convertible
274,000
0.375%, 
9/1/2027
297,119
Apple,
Inc.
122,000
3.450%, 
5/6/2024
132,563
34,000
0.700%, 
2/8/2026
33,347
134,000
2.200%, 
9/11/2029
135,778
Baidu,
Inc.
39,000
3.075%, 
4/7/2025
41,046
Banff
Merger
Sub,
Inc.
35,000
9.750%, 
9/1/2026
h
37,275
Broadcom
Corporation
90,000
3.125%, 
1/15/2025
95,761
67,000
3.875%, 
1/15/2027
72,756
Broadcom,
Inc.
90,000
5.000%, 
4/15/2030
102,574
CommScope
Technologies
Finance,
LLC
120,000
6.000%, 
6/15/2025
h
122,406
CommScope,
Inc.
50,000
7.125%, 
7/1/2028
h
53,104
Dell
International,
LLC
67,000
5.850%, 
7/15/2025
h
78,108
67,000
5.300%, 
10/1/2029
h
78,374
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
39
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Technology
(1.3%)
-
continued
Diamond
1
Finance
Corporation
$
97,000
5.450%, 
6/15/2023
h
$
106,007
Diamond
Sports
Group,
LLC
130,000
6.625%, 
8/15/2027
h
67,600
Fiserv,
Inc.
72,000
2.750%, 
7/1/2024
76,084
89,000
4.200%, 
10/1/2028
100,288
Gartner,
Inc.
20,000
4.500%, 
7/1/2028
h
20,625
75,000
3.750%, 
10/1/2030
h
74,380
Global
Payments,
Inc.
17,000
2.650%, 
2/15/2025
17,862
45,000
3.200%, 
8/15/2029
47,395
Hewlett
Packard
Enterprise
Company
33,000
2.250%, 
4/1/2023
33,991
28,000
4.450%, 
10/2/2023
30,424
Intuit,
Inc.
35,000
0.950%, 
7/15/2025
34,728
Iron
Mountain,
Inc.
120,000
5.000%, 
7/15/2028
h
122,700
J2
Global,
Inc.,
Convertible
199,000
1.750%, 
11/1/2026
h
233,203
91,000
3.250%, 
6/15/2029
160,899
Lumentum
Holdings,
Inc.,
Convertible
134,000
0.250%, 
3/15/2024
214,662
Marvell
Technology
Group,
Ltd.
41,000
4.200%, 
6/22/2023
43,869
Microchip
Technology,
Inc.,
Convertible
73,000
1.625%, 
2/15/2027
166,075
Micron
Technology,
Inc.
45,000
4.975%, 
2/6/2026
51,493
NCR
Corporation
140,000
6.125%, 
9/1/2029
h
148,225
NortonLifeLock,
Inc.,
Convertible
27,000
2.000%, 
8/15/2022
h
31,441
Nuance
Communications,
Inc.,
Convertible
232,000
1.250%, 
4/1/2025
527,081
NVIDIA
Corporation
22,000
2.850%, 
4/1/2030
23,104
NXP
Funding,
LLC
48,000
4.875%, 
3/1/2024
h
53,350
17,000
2.700%, 
5/1/2025
h
17,829
45,000
4.300%, 
6/18/2029
h
50,329
ON
Semiconductor
Corporation,
Convertible
269,000
1.625%, 
10/15/2023
557,671
Open
Text
Corporation
65,000
4.125%, 
2/15/2030
h
65,890
Oracle
Corporation
30,000
2.500%, 
5/15/2022
30,586
112,000
2.500%, 
4/1/2025
117,680
45,000
2.950%, 
4/1/2030
46,402
Panasonic
Corporation
53,000
2.536%, 
7/19/2022
h
54,241
PTC,
Inc.
40,000
3.625%, 
2/15/2025
h
41,050
Qorvo,
Inc.
70,000
3.375%, 
4/1/2031
h
68,592
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Technology
(1.3%)
-
continued
Rackspace
Technology
Global,
Inc.
$
60,000
5.375%, 
12/1/2028
g,h
$
61,009
Seagate
HDD
Cayman
34,000
4.250%, 
3/1/2022
g
34,935
90,000
3.375%, 
7/15/2031
h
86,531
Sensata
Technologies,
Inc.
120,000
3.750%, 
2/15/2031
h
118,313
Shift4
Payments,
LLC
20,000
4.625%, 
11/1/2026
h
20,750
SS&C
Technologies,
Inc.
150,000
5.500%, 
9/30/2027
h
159,758
Switch,
Ltd.
70,000
3.750%, 
9/15/2028
h
68,930
Tencent
Holdings,
Ltd.
41,000
1.810%, 
1/26/2026
h
41,127
Teradyne,
Inc.,
Convertible
63,000
1.250%, 
12/15/2023
242,314
Texas
Instruments,
Inc.
76,000
1.375%, 
3/12/2025
77,326
Verint
Systems,
Inc.,
Convertible
159,000
1.500%, 
6/1/2021
179,081
Vishay
Intertechnology,
Inc.,
Convertible
130,000
2.250%, 
6/15/2025
141,375
Total
5,947,416
Transportation
(0.5%)
AerCap
Holdings
NV
34,000
5.875%, 
10/10/2079
b
34,976
Air
Canada
Pass
Through
Trust
14,643
3.875%, 
3/15/2023
h
14,620
Air
Lease
Corporation
32,000
2.300%, 
2/1/2025
32,685
24,000
3.375%, 
7/1/2025
25,351
45,000
3.125%, 
12/1/2030
44,867
Air
Transport
Services
Group,
Inc.,
Convertible
66,000
1.125%, 
10/15/2024
73,755
American
Airlines,
Inc.
70,000
11.750%, 
7/15/2025
h
86,589
105,000
5.500%, 
4/20/2026
h
109,272
15,000
5.750%, 
4/20/2029
h
15,955
Avis
Budget
Car
Rental,
LLC
60,000
5.375%, 
3/1/2029
h
62,065
Boeing
Company
35,000
1.950%, 
2/1/2024
35,860
CSX
Corporation
45,000
4.250%, 
3/15/2029
51,108
Delta
Air
Lines,
Inc.
70,000
7.000%, 
5/1/2025
h
80,637
95,882
4.500%, 
10/20/2025
h
102,344
Hawaiian
Brand
Intellectual
Property,
Ltd.
80,000
5.750%, 
1/20/2026
h
85,008
J.B.
Hunt
Transport
Services,
Inc.
65,000
3.300%, 
8/15/2022
67,084
Meritor,
Inc.,
Convertible
268,000
3.250%, 
10/15/2037
314,062
Mileage
Plus
Holdings,
LLC
70,000
6.500%, 
6/20/2027
h
76,738
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
40
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Transportation
(0.5%)
-
continued
Penske
Truck
Leasing
Company,
LP
$
35,000
3.375%, 
2/1/2022
h
$
35,646
35,000
1.200%, 
11/15/2025
h
34,380
Southwest
Airlines
Company
17,000
4.750%, 
5/4/2023
18,355
42,000
5.125%, 
6/15/2027
48,286
Southwest
Airlines
Company,
Convertible
241,000
1.250%, 
5/1/2025
413,767
Union
Pacific
Corporation
62,000
3.750%, 
7/15/2025
68,103
45,000
2.150%, 
2/5/2027
46,220
United
Airlines
Pass
Through
Trust
65,000
3.700%, 
12/1/2022
65,894
XPO
Logistics,
Inc.
110,000
6.750%, 
8/15/2024
h
115,363
Total
2,158,990
U.S.
Government
&
Agencies
(2.7%)
U.S.
Treasury
Bonds
715,000
1.125%, 
2/15/2031
675,563
U.S.
Treasury
Notes
1,510,000
0.375%, 
3/31/2022
1,514,483
2,190,000
0.125%, 
2/28/2023
2,188,631
2,830,000
0.125%, 
2/15/2024
2,814,745
1,550,000
0.500%, 
3/31/2025
1,540,131
1,590,000
0.500%, 
2/28/2026
1,558,945
870,000
0.500%, 
4/30/2027
833,229
1,550,000
1.125%, 
2/29/2028
1,522,875
Total
12,648,602
Utilities
(0.6%)
Ameren
Corporation
45,000
1.750%, 
3/15/2028
43,496
Berkshire
Hathaway
Energy
Company
64,000
4.050%, 
4/15/2025
70,617
Calpine
Corporation
115,000
4.500%, 
2/15/2028
h
115,966
CenterPoint
Energy
Houston
Electric,
LLC
45,000
2.350%, 
4/1/2031
45,013
CenterPoint
Energy,
Inc.
43,000
2.500%, 
9/1/2022
44,158
34,000
2.500%, 
9/1/2024
35,649
Dominion
Energy,
Inc.
35,000
3.071%, 
8/15/2024
37,274
135,000
4.650%, 
12/15/2024
b,j
142,128
45,000
3.375%, 
4/1/2030
47,912
DTE
Energy
Company
45,000
3.800%, 
3/15/2027
49,561
Duke
Energy
Corporation
22,000
4.875%, 
9/16/2024
b,j
23,243
90,000
3.150%, 
8/15/2027
95,873
Edison
International
54,000
4.950%, 
4/15/2025
60,276
Entergy
Corporation
34,000
0.900%, 
9/15/2025
33,201
45,000
1.900%, 
6/15/2028
43,950
Evergy,
Inc.
34,000
2.450%, 
9/15/2024
35,598
Principal
Amount
Long-Term
Fixed
Income
(30.0%)
Value
Utilities
(0.6%)
-
continued
Exelon
Corporation
$
45,000
4.050%, 
4/15/2030
$
50,143
FirstEnergy
Corporation
66,000
2.850%, 
7/15/2022
66,990
Florida
Power
&
Light
Company
31,000
2.850%, 
4/1/2025
33,087
Georgia
Power
Company
32,000
2.100%, 
7/30/2023
33,030
NextEra
Energy
Operating
Partners,
LP
100,000
3.875%, 
10/15/2026
h
104,875
NextEra
Energy
Partners,
LP,
Convertible
136,000
Zero
Coupon, 
11/15/2025
h
145,775
NiSource,
Inc.
43,000
5.650%, 
6/15/2023
b,j
44,397
45,000
2.950%, 
9/1/2029
46,319
NRG
Energy,
Inc.
34,000
2.000%, 
12/2/2025
h
33,994
105,000
3.375%, 
2/15/2029
h
102,506
Pacific
Gas
and
Electric
Company
67,000
3.750%, 
2/15/2024
71,252
67,000
2.100%, 
8/1/2027
65,598
PG&E
Corporation
50,000
5.000%, 
7/1/2028
52,824
40,000
5.250%, 
7/1/2030
42,400
PPL
Capital
Funding,
Inc.
47,000
3.950%, 
3/15/2024
50,748
45,000
4.125%, 
4/15/2030
50,577
Public
Service
Enterprise
Group,
Inc.
45,000
1.600%, 
8/15/2030
41,443
Sempra
Energy
84,000
4.875%, 
10/15/2025
b,j
89,880
67,000
3.400%, 
2/1/2028
71,853
Southern
Company
119,000
4.000%, 
1/15/2051
b
125,575
Suburban
Propane
Partners,
LP
90,000
5.875%, 
3/1/2027
93,600
Talen
Energy
Supply,
LLC
65,000
7.625%, 
6/1/2028
h
65,813
TerraForm
Power
Operating,
LLC
90,000
5.000%, 
1/31/2028
h
97,115
TransCanada
Trust
175,000
5.875%, 
8/15/2076
b
190,750
Vistra
Operations
Company,
LLC
90,000
5.000%, 
7/31/2027
h
92,702
Xcel
Energy,
Inc.
45,000
4.000%, 
6/15/2028
49,971
Total
2,837,132
Total
Long-Term
Fixed
Income
(cost
$137,164,871)
140,119,606
Shares
Registered
Investment
Companies
(
15.8%
)
Value
Unaffiliated  (1.3%)
13,445
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
54,990
7,675
AllianceBernstein
Global
High
Income
Fund,
Inc.
90,949
7,392
BlackRock
Core
Bond
Trust
116,054
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
41
Shares
Registered
Investment
Companies
(15.8%)
Value
Unaffiliated  (1.3%)-
continued
6,415
BlackRock
Corporate
High
Yield
Fund,
Inc.
$
75,312
6,648
BlackRock
Credit
Allocation
Income
Trust
97,593
4,793
BlackRock
Enhanced
Equity
Dividend
Trust
45,342
7,409
BlackRock
Enhanced
Global
Dividend
Trust
85,129
4,735
BlackRock
Multi-Sector
Income
Trust
85,325
2,700
Brookfield
Real
Assets
Income
Fund,
Inc.
55,890
2,379
Cohen
&
Steers
Quality
Income
Realty
Fund,
Inc.
33,116
4,342
Eaton
Vance
Limited
Duration
Income
Fund
54,839
6,704
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
62,347
5,539
Invesco
Dynamic
Credit
Opportunities
Fund
62,978
8,000
iShares
S&P
U.S.
Preferred
Stock
Index
Fund
g
307,200
6,651
Liberty
All-Star
Equity
Fund
50,747
12,050
Nuveen
Credit
Strategies
Income
Fund
78,325
5,067
PGIM
Global
High
Yield
Fund,
Inc.
75,600
4,669
PGIM
High
Yield
Bond
Fund,
Inc.
73,117
2,493
Pimco
Dynamic
Credit
And
Mortgage
Income
Fund
55,519
4,506
Royce
Micro-Cap
Trust,
Inc.
50,918
4,025
Royce
Value
Trust,
Inc.
72,893
31,804
SPDR
Bloomberg
Barclays
Short
Term
High
Yield
Bond
ETF
869,203
1,883
Tri-Continental
Corporation
61,066
30,000
Vanguard
Intermediate-Term
Corporate
Bond
ETF
2,790,900
14,077
Virtus
Dividend,
Interst
&
Premium
Strategy
Fund
193,981
9,794
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
55,826
7,170
Wells
Fargo
Income
Opportunities
Fund
60,515
16,372
Western
Asset
High
Income
Opportunity
Fund,
Inc.
83,170
Total
5,798,844
Affiliated  (14.5%)
3,048,831
Thrivent
Core
Emerging
Markets
Debt
Fund
29,482,198
3,773,318
Thrivent
Core
International
Equity
Fund
38,336,906
Total
67,819,104
Total
Registered
Investment
Companies
(cost
$70,964,817)
73,617,948
Shares
Preferred
Stock
(
1.0%
)
Value
Communications
Services
(0.1%)
8,625
AT&T,
Inc.,
4.750%
j
217,954
2,375
AT&T,
Inc.,
5.000%
j
62,629
Total
280,583
Shares
Preferred
Stock
(1.0%)
Value
Consumer
Discretionary
(<0.1%)
1,261
International
Flavors
&
Fragrances,
Inc.,
Convertible,
6.000%
$
61,839
Total
61,839
Consumer
Staples
(<0.1%)
1,250
CHS,
Inc.,
7.100%
b,j
34,513
Total
34,513
Energy
(<0.1%)
6,964
Crestwood
Equity
Partners,
LP,
9.250%
j
60,169
1,600
Energy
Transfer
Operating,
LP,
7.600%
b,j
38,256
1,536
Nustar
Logistics,
LP,
6.975%
b
37,862
Total
136,287
Financials
(0.6%)
2,750
Aegon
Funding
Corporation
II,
5.100%
71,363
3,174
Agribank
FCB,
6.875%
b,j
342,792
5,700
Allstate
Corporation,
5.100%
j
153,957
5,000
Bank
of
America
Corporation,
5.000%
j
132,350
2,000
Bank
of
America
Corporation,
5.375%
j
54,160
72
Bank
of
America
Corporation,
Convertible,
7.250%
j
100,656
5,525
Capital
One
Financial
Corporation,
5.000%
j
142,269
2,485
Cobank
ACB,
6.250%
b,j
261,546
5,875
Equitable
Holdings,
Inc.,
5.250%
j
154,395
140
First
Horizon
Bank,
3.750%
b,h,j
116,200
1,046
GMAC
Capital
Trust
I,
5.983%
b
26,652
3,650
J.P.
Morgan
Chase
&
Company,
4.750%
j
96,433
3,350
J.P.
Morgan
Chase
&
Company,
5.750%
j
90,819
3,350
Legg
Mason,
Inc.,
5.450%
85,425
5,880
Morgan
Stanley,
5.850%
b,j
167,462
3,100
Morgan
Stanley,
7.125%
b,g,j
89,466
775
Synovus
Financial
Corporation,
5.875%
b,j
20,832
5,025
Truist
Financial
Corporation,
4.750%
j
129,394
328
Wells
Fargo
&
Company,
Convertible,
7.500%
j
464,910
Total
2,701,081
Health
Care
(<0.1%)
89
Danaher
Corporation,
Convertible,
5.000%
115,273
Total
115,273
Industrials
(0.1%)
243
Fortive
Corporation,
Convertible,
5.000%
241,921
1,957
Stanley
Black
&
Decker,
Inc.,
Convertible,
5.250%
230,887
Total
472,808
Real
Estate
(0.1%)
6,150
Public
Storage,
4.125%
j
158,731
1,300
Public
Storage,
4.625%
j
34,918
325
Public
Storage,
4.700%
j
8,713
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
42
Shares
Preferred
Stock
(1.0%)
Value
Real
Estate
(0.1%)
-
continued
511
Public
Storage,
4.875%
j
$
13,685
Total
216,047
Utilities
(0.1%)
736
American
Electric
Power
Company,
Inc.,
Convertible,
6.125%
35,519
2,505
NextEra
Energy,
Inc.,
Convertible,
4.872%
143,812
6,725
Southern
Company,
4.950%
177,002
2,044
Southern
Company,
Convertible,
6.750%
104,101
Total
460,434
Total
Preferred
Stock
(cost
$4,243,468)
4,478,865
Shares
Collateral
Held
for
Securities
Loaned
(
0.5%
)
Value
2,487,819
Thrivent
Cash
Management
Trust
2,487,819
Total
Collateral
Held
for
Securities
Loaned
(cost
$2,487,819)
2,487,819
Shares
or
Principal
Amount
Short-Term
Investments
(
11.5%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
300,000
0.085%,
4/7/2021
n,o
300,000
200,000
0.080%,
4/14/2021
n,o
200,000
500,000
0.035%,
4/28/2021
n,o
500,000
500,000
0.040%,
5/4/2021
n,o
499,995
400,000
0.028%,
5/19/2021
n,o
399,995
200,000
0.035%,
6/2/2021
n,o
199,993
100,000
0.000%,
7/7/2021
o
99,992
Thrivent
Core
Short-Term
Reserve
Fund
5,155,865
0.180%
51,558,653
Total
Short-Term
Investments
(cost
$53,740,014)
53,758,628
Total
Investments
(cost
$445,163,677)
107.7%
$503,180,845
Other
Assets
and
Liabilities,
Net
(7.7%)
(36,135,424)
Total
Net
Assets
100.0%
$467,045,421
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
March
31,
2021.
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
Non-income
producing
security.
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
March
31,
2021,
the
value
of
these
investments
was
$37,039,084
or
7.9%
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
March
31,
2021.
j
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
k
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.
l
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
m
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
March
31,
2021.
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
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
665,651
Common
Stock
1,647,723
Total
lending
$2,313,374
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$2,487,819
Net
amounts
due
to
counterparty
$174,445
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.
PIK
-
Payment-In-Kind
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.
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
43
x
Reference
Rate
Index:
12
MTA
-
12
Month
Treasury
Average
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
44
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
3,604,905
3,604,905
Capital
Goods
5,758,361
5,337,401
420,960
Communications
Services
12,038,241
12,038,241
Consumer
Cyclical
8,304,875
8,304,875
Consumer
Non-Cyclical
8,147,384
8,051,434
95,950
Financials
3,437,476
2,843,828
593,648
Technology
4,345,758
4,345,758
Transportation
2,086,569
2,086,569
Utilities
2,335,549
2,335,549
Common
Stock
Communications
Services
15,582,760
15,578,705
4,055
Consumer
Discretionary
23,552,630
23,539,013
13,617
Consumer
Staples
6,620,511
6,620,511
Energy
5,518,875
5,518,875
Financials
28,292,636
27,814,204
478,432
Health
Care
22,445,675
22,445,675
Industrials
22,582,014
22,195,546
386,468
Information
Technology
38,875,619
38,044,248
831,371
Materials
5,304,776
5,118,301
186,475
Real
Estate
6,126,209
6,126,209
Utilities
3,757,156
3,757,156
Long-Term
Fixed
Income
Asset-Backed
Securities
7,098,440
7,098,440
Basic
Materials
2,435,845
2,435,845
Capital
Goods
4,703,962
4,703,962
Collateralized
Mortgage
Obligations
12,463,127
12,213,127
250,000
Commercial
Mortgage-Backed
Securities
227,250
227,250
Communications
Services
6,444,693
6,411,899
32,794
Consumer
Cyclical
8,560,996
8,560,996
Consumer
Non-Cyclical
8,474,905
8,474,905
Energy
6,933,176
6,933,176
Financials
19,735,547
19,735,547
Foreign
Government
42,643
42,643
Mortgage-Backed
Securities
39,406,882
39,406,882
Technology
5,947,416
5,947,416
Transportation
2,158,990
2,158,990
U.S.
Government
&
Agencies
12,648,602
12,648,602
Utilities
2,837,132
2,837,132
Registered
Investment
Companies
Unaffiliated
5,798,844
5,798,844
Preferred
Stock
Communications
Services
280,583
280,583
Consumer
Discretionary
61,839
61,839
Consumer
Staples
34,513
34,513
Energy
136,287
136,287
Financials
2,701,081
2,584,881
116,200
Health
Care
115,273
115,273
Industrials
472,808
472,808
Real
Estate
216,047
216,047
Utilities
460,434
460,434
Short-Term
Investments
2,199,975
2,199,975
Subtotal
Investments
in
Securities
$381,315,269
$186,919,952
$193,001,965
$1,393,352
Other
Investments  *
Total
Affiliated
Registered
Investment
Companies
67,819,104
Affiliated
Short-Term
Investments
51,558,653
Collateral
Held
for
Securities
Loaned
2,487,819
Subtotal
Other
Investments
$121,865,576
Total
Investments
at
Value
$503,180,845
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
45
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
*
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
49,773
49,773
Total
Asset
Derivatives
$49,773
$49,773
$–
$–
Liability
Derivatives
Futures
Contracts
298,567
298,567
Total
Liability
Derivatives
$298,567
$298,567
$–
$–
The
following
table
presents
Balanced
Income
Plus
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$2,099,975
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
20
June
2021
$
2,624,742
(
$
5,992)
CBOT
5-Yr.
U.S.
Treasury
Note
14
June
2021
1,730,021
(
2,443)
CBOT
U.S.
Long
Bond
3
June
2021
465,569
(
1,788)
CME
E-mini
S&P
500
Index
24
June
2021
4,756,478
4,401
CME
Ultra
Long
Term
U.S.
Treasury
Bond
11
June
2021
2,086,405
(
92,999)
ICE
mini
MSCI
EAFE
Index
27
June
2021
2,953,883
5,317
Total
Futures
Long
Contracts
$
14,617,098
(
$
93,504)
CBOT
2-Yr.
U.S.
Treasury
Note
(12)
June
2021
(
$
2,651,225)
$
2,507
CME
E-mini
Russell
2000
Index
(125)
June
2021
(
13,695,280)
(
195,345)
Ultra
10-Yr.
U.S.
Treasury
Note
(7)
June
2021
(
1,043,360)
37,548
Total
Futures
Short
Contracts
(
$
17,389,865)
($155,290)
Total
Futures
Contracts
(
$
2,772,767)
($248,794)
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
46
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$31,280
$321
$–
$29,482
3,049
6.3%
Core
International
Equity
48,941
12,100
38,337
3,773
8.2
Total
Affiliated
Registered
Investment
Companies
80,221
67,819
14.5
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
37,558
119,651
105,650
51,559
5,156
11.0
Total
Affiliated
Short-Term
Investments
37,558
51,559
11.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
2,697
16,993
17,202
2,488
2,488
0.5
Total
Collateral
Held
for
Securities
Loaned
2,697
2,488
0.5
Total
Value
$120,476
$121,866
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$(2,119)
$321
Core
International
Equity
491
1,005
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
4
(4)
22
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$343
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
4
Total
Affiliated
Income
from
Securities
Loaned,
Net
$4
Total
Value
$495
$(1,118)
$–
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
47
Principal
Amount
Bank
Loans
(
9.1%
)
a
Value
Basic
Materials
(0.6%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
136,150
4.690%, 
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
135,276
Chemours
Company,
Term
Loan
431,650
1.860%, 
(LIBOR
1M
+
1.750%),
4/3/2025
b
418,342
Hexion,
Inc.,
Term
Loan
492,809
3.740%, 
(LIBOR
3M
+
3.500%),
7/1/2026
b
492,504
INEOS
US
Petrochem,
LLC,
Term
Loan
760,000
3.250%, 
(LIBOR
3M
+
2.750%),
1/29/2026
b
757,150
Innophos
Holdings,
Inc.,
Term
Loan
495,000
3.609%, 
(LIBOR
1M
+
3.500%),
2/7/2027
b
493,144
Momentive
Performance
Materials
USA,
LLC,
Term
Loan
456,863
3.360%, 
(LIBOR
1M
+
3.250%),
5/15/2024
b
448,867
Nouryon
USA,
LLC,
Term
Loan
1,182,255
2.860%, 
(LIBOR
1M
+
2.750%),
10/1/2025
b
1,163,292
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
863,613
7.500%, 
(LIBOR
1M
+
6.500%),
10/31/2024
b
862,714
Venator
Finance
SARL,
Term
Loan
568,527
3.109%, 
(LIBOR
1M
+
3.000%),
8/8/2024
b
560,238
Total
5,331,527
Capital
Goods
(1.0%)
Flex
Acquisition
Company,
Inc.,
Term
Loan
988,294
3.238%, 
(LIBOR
3M
+
3.250%),
6/29/2025
b
970,999
195,000
4.000%, 
(LIBOR
3M
+
3.500%),
3/2/2028
b
192,350
Gemini
HDPE,
LLC,
Term
Loan
715,000
3.500%, 
(LIBOR
3M
+
3.000%),
12/31/2027
b
710,982
GFL
Environmental,
Inc.,
Term
Loan
768,075
3.500%, 
(LIBOR
1M
+
3.000%),
5/31/2025
b
768,075
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
702,521
3.443%, 
(LIBOR
3M
+
3.250%),
4/3/2024
b
686,714
Natgasoline,
LLC,
Term
Loan
586,500
3.625%, 
(LIBOR
1M
+
3.500%),
11/14/2025
b,c
580,635
Navistar,
Inc.,
Term
Loan
994,250
3.620%, 
(LIBOR
1M
+
3.500%),
11/6/2024
b
994,001
Pactiv
Evergreen
Group
Holdings,
Inc.,
Term
Loan
347,148
2.859%, 
(LIBOR
1M
+
2.750%),
2/5/2023
b
345,468
498,750
3.359%, 
(LIBOR
1M
+
3.250%),
2/5/2026
b
492,765
Principal
Amount
Bank
Loans
(9.1%)
a
Value
Capital
Goods
(1.0%)
-
continued
TransDigm,
Inc.,
Term
Loan
$
1,742,938
2.359%, 
(LIBOR
1M
+
2.250%),
12/9/2025
b
$
1,705,168
TricorBraun
Holdings,
Inc.,
Delayed
Draw
163,428
0.000%, 
(LIBOR
1M
+
3.250%),
3/3/2028
b,d,e
161,725
TricorBraun
Holdings,
Inc.,
Term
Loan
726,573
0.000%, 
(LIBOR
3M
+
3.250%),
3/3/2028
b,d,e
719,002
Total
8,327,884
Communications
Services
(2.1%)
Altice
France
SA,
Term
Loan
433,125
2.859%, 
(LIBOR
1M
+
2.750%),
7/31/2025
b
424,229
Cablevision
Lightpath,
LLC,
Term
Loan
713,213
3.750%, 
(LIBOR
1M
+
3.250%),
12/1/2027
b
711,429
CCI
Buyer,
Inc.,
Term
Loan
185,000
4.750%, 
(LIBOR
3M
+
4.000%),
12/17/2027
b
185,174
CommScope,
Inc.,
Term
Loan
1,250,950
3.359%, 
(LIBOR
1M
+
3.250%),
4/4/2026
b
1,241,630
CSC
Holdings,
LLC,
Term
Loan
474,062
2.356%, 
(LIBOR
1M
+
2.250%),
7/17/2025
b,d,e
467,051
Diamond
Sports
Group,
LLC,
Term
Loan
737,656
3.360%, 
(LIBOR
1M
+
3.250%),
8/24/2026
b
503,450
E.W.
Scripps
Company,
Term
Loan
354,113
3.750%, 
(LIBOR
1M
+
3.000%),
1/7/2028
b
352,508
Eagle
Broadband
Investments,
LLC,
Term
Loan
1,192,013
3.750%, 
(LIBOR
3M
+
3.000%),
11/12/2027
b
1,188,043
Entercom
Media
Corporation,
Term
Loan
663,830
2.609%, 
(LIBOR
1M
+
2.500%),
11/17/2024
b
648,396
GCI,
LLC,
Term
Loan
884,952
3.500%, 
(LIBOR
1M
+
2.750%),
10/15/2025
b,d,e
879,792
HCP
Acquisition,
LLC,
Term
Loan
937,184
3.750%, 
(LIBOR
1M
+
2.750%),
5/16/2024
b
935,122
iHeartCommunications,
Inc.,
Term
Loan
569,236
3.109%, 
(LIBOR
1M
+
3.000%),
5/1/2026
b
561,853
Intermediate
Dutch
Holdings,
Term
Loan
440,000
0.000%, 
(LIBOR
1M
+
4.000%),
3/5/2028
b,d,e
438,020
Lumen
Technologies,
Inc.,
Term
Loan
806,261
2.359%, 
(LIBOR
1M
+
2.250%),
3/15/2027
b,d,e
796,836
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
48
Principal
Amount
Bank
Loans
(9.1%)
a
Value
Communications
Services
(2.1%)
-
continued
Meredith
Corporation,
Term
Loan
$
616,892
5.250%, 
(LIBOR
3M
+
4.250%),
1/31/2025
b
$
625,504
NEP
Group,
Inc.,
Term
Loan
982,449
3.359%, 
(LIBOR
1M
+
3.250%),
10/20/2025
b
951,198
Nexstar
Broadcasting,
Inc.,
Term
Loan
1,109,164
2.615%, 
(LIBOR
1M
+
2.500%),
9/19/2026
b
1,099,881
Nielsen
Finance,
LLC,
Term
Loan
316,927
4.750%, 
(LIBOR
1M
+
3.750%),
6/4/2025
b
317,472
Radiate
Holdco,
LLC,
Term
Loan
1,690,762
4.250%, 
(LIBOR
1M
+
3.500%),
9/25/2026
b
1,689,038
Terrier
Media
Buyer,
Inc.,
Term
Loan
927,675
3.609%, 
(LIBOR
1M
+
3.500%),
12/17/2026
b
918,528
TNS,
Inc.,
Term
Loan
729,217
4.110%, 
(LIBOR
1M
+
4.000%),
8/14/2022
b
725,265
WideOpenWest
Finance,
LLC,
Term
Loan
1,227,014
4.250%, 
(LIBOR
1M
+
3.250%),
8/19/2023
b
1,222,646
Xplornet
Communications,
Inc.,
Term
Loan
735,569
4.859%, 
(LIBOR
1M
+
4.750%),
6/10/2027
b
734,996
Ziggo
Financing
Partnership,
Term
Loan
470,000
2.606%, 
(LIBOR
1M
+
2.500%),
4/30/2028
b,d,e
464,872
Total
18,082,933
Consumer
Cyclical
(1.6%)
1011778
B.C.,
LLC,
Term
Loan
1,085,368
1.859%, 
(LIBOR
1M
+
1.750%),
11/19/2026
b,d,e
1,064,681
Caesars
Resort
Collection,
LLC,
Term
Loan
945,250
4.609%, 
(LIBOR
1M
+
4.500%),
7/20/2025
b
946,431
Carnival
Corporation,
Term
Loan
472,619
8.500%, 
(LIBOR
1M
+
7.500%),
6/30/2025
b
486,798
Cengage
Learning,
Inc.,
Term
Loan
469,984
5.250%, 
(LIBOR
3M
+
4.250%),
6/7/2023
b
464,406
City
Brewing
Company,
LLC,
Term
Loan
120,000
0.000%, 
(LIBOR
1M
+
3.500%),
4/1/2028
b,d,e
119,400
CP
Atlas
Buyer,
Inc.,
Term
Loan
585,000
4.250%, 
(LIBOR
2M
+
3.750%),
11/23/2027
b
580,706
Golden
Entertainment,
Inc.,
Term
Loan
1,425,125
3.750%, 
(LIBOR
1M
+
3.000%),
10/20/2024
b
1,403,748
Principal
Amount
Bank
Loans
(9.1%)
a
Value
Consumer
Cyclical
(1.6%)
-
continued
Golden
Nugget,
LLC,
Term
Loan
$
704,645
3.250%, 
(LIBOR
2M
+
2.500%),
10/4/2023
b
$
692,842
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
922,687
3.750%, 
(LIBOR
1M
+
3.000%),
10/19/2027
b
921,008
LCPR
Loan
Financing,
LLC,
Term
Loan
600,000
0.000%, 
(LIBOR
3M
+
3.750%),
10/23/2026
b,d,e
600,750
Michaels
Stores,
Inc.,
Term
Loan
676,600
4.250%, 
(LIBOR
1M
+
3.500%),
10/1/2027
b
675,585
Scientific
Games
International,
Inc.,
Term
Loan
2,495,612
2.859%, 
(LIBOR
1M
+
2.750%),
8/14/2024
b
2,445,525
Staples,
Inc.,
Term
Loan
265,573
4.705%, 
(LIBOR
3M
+
4.500%),
9/12/2024
b
260,814
440,574
5.205%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
429,194
Stars
Group
Holdings
BV,
Term
Loan
585,002
3.703%, 
(LIBOR
3M
+
3.500%),
7/10/2025
b
585,329
Tenneco,
Inc.,
Term
Loan
708,327
3.109%, 
(LIBOR
1M
+
3.000%),
10/1/2025
b
689,025
Truck
Hero,
Inc.,
Term
Loan
160,000
4.500%, 
(LIBOR
1M
+
3.750%),
2/24/2028
b
159,490
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
521,625
1.859%, 
(LIBOR
1M
+
1.750%),
5/30/2025
b
515,684
Total
13,041,416
Consumer
Non-Cyclical
(1.4%)
Adient
US,
LLC,
Term
Loan
283,557
4.380%, 
(LIBOR
1M
+
4.250%),
5/6/2024
b
283,202
Bausch
Health
Americas,
Inc.,
Term
Loan
1,445,881
3.109%, 
(LIBOR
1M
+
3.000%),
6/1/2025
b
1,440,401
Chobani,
LLC,
Term
Loan
368,150
4.500%, 
(LIBOR
1M
+
3.500%),
10/23/2027
b
367,598
CNT
Holdings
I
Corporation,
Term
Loan
475,000
4.500%, 
(LIBOR
3M
+
3.750%),
11/8/2027
b
473,665
135,000
7.500%, 
(LIBOR
3M
+
6.750%),
11/6/2028
b,c
136,350
Dole
Food
Company,
Inc.,
Term
Loan
970,919
3.754%, 
(LIBOR
1M
+
2.750%),
4/6/2024
b
969,977
Endo
Luxembourg
Finance
Company,
Term
Loan
450,000
0.000%, 
(LIBOR
1M
+
5.000%),
3/25/2028
b,d,e
444,937
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
49
Principal
Amount
Bank
Loans
(9.1%)
a
Value
Consumer
Non-Cyclical
(1.4%)
-
continued
Global
Medical
Response,
Inc.,
Term
Loan
$
237,038
5.250%, 
(LIBOR
3M
+
4.250%),
3/14/2025
b
$
235,388
2,164,575
5.750%, 
(LIBOR
3M
+
4.750%),
10/2/2025
b
2,155,917
MPH
Acquisition
Holdings,
LLC,
Term
Loan
1,730,718
3.750%, 
(LIBOR
3M
+
2.750%),
6/7/2023
b
1,720,300
Ortho-Clinical
Diagnostics
SA,
Term
Loan
1,092,385
3.359%, 
(LIBOR
1M
+
3.250%),
6/30/2025
b
1,089,927
PetSmart,
Inc.,
Term
Loan
1,125,000
4.500%, 
(LIBOR
3M
+
3.750%),
2/12/2028
b
1,122,412
Plantronics,
Inc.,
Term
Loan
200,825
2.650%, 
(LIBOR
1M
+
2.500%),
7/2/2025
b
197,958
Precision
Medicine
Group,
LLC,
Delayed
Draw
91,731
0.000%, 
(LIBOR
1M
+
3.000%),
11/20/2027
b,d,e
90,986
Precision
Medicine
Group,
LLC,
Term
Loan
701,511
3.750%, 
(LIBOR
3M
+
3.750%),
11/20/2027
b
695,815
Sotera
Health
Holdings,
LLC,
Term
Loan
457,000
3.250%, 
(LIBOR
3M
+
2.750%),
12/13/2026
b
455,286
Total
11,880,119
Energy
(0.1%)
Calpine
Corporation,
Term
Loan
922,688
2.610%, 
(LIBOR
1M
+
2.500%),
12/16/2027
b
916,266
Lealand
Finance
Company
BV,
Term
Loan
209,996
0.000%,PIK
3.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b,f
114,097
Total
1,030,363
Financials
(0.6%)
Asurion,
LLC,
Term
Loan
309,225
3.359%, 
(LIBOR
1M
+
3.250%),
12/23/2026
b
307,073
1,000,000
3.359%, 
(LIBOR
1M
+
3.250%),
8/3/2027
b,d,e
992,290
630,000
5.359%, 
(LIBOR
1M
+
5.250%),
2/3/2028
b
641,025
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
392,088
2.500%, 
(LIBOR
1M
+
1.750%),
1/15/2025
b
390,445
Blackstone
CQP
Holdco,
LP,
Term
Loan
289,838
3.687%, 
(LIBOR
3M
+
3.500%),
9/30/2024
b
288,933
MoneyGram
International,
Inc.,
Term
Loan
552,765
7.000%, 
(LIBOR
3M
+
6.000%),
6/30/2023
b
552,489
Principal
Amount
Bank
Loans
(9.1%)
a
Value
Financials
(0.6%)
-
continued
NCR
Corporation,
Term
Loan
$
830,875
2.720%, 
(LIBOR
3M
+
2.500%),
8/28/2026
b,c
$
820,489
Newco
Financing
Partnership,
Term
Loan
140,000
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
139,550
Northriver
Midstream
Finance,
LP,
Term
Loan
829,394
3.488%, 
(LIBOR
3M
+
3.250%),
10/1/2025
b
817,086
UPC
Financing
Partnership,
Term
Loan
140,000
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
139,551
Total
5,088,931
Technology
(0.8%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
760,415
3.712%, 
(LIBOR
3M
+
3.500%),
8/21/2026
b
729,367
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
485,000
3.609%, 
(LIBOR
1M
+
3.500%),
6/30/2027
b
482,371
Prime
Security
Services
Borrower,
LLC,
Term
Loan
2,115,000
3.500%, 
(LIBOR
1M
+
2.750%),
9/23/2026
b
2,105,081
Rackspace
Technology
Global,
Inc.,
Term
Loan
1,360,000
3.500%, 
(LIBOR
3M
+
2.750%),
2/9/2028
b
1,346,822
SS&C
Technologies,
Inc.,
Term
Loan
118,307
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,d,e
116,938
82,617
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,d,e
81,661
Zayo
Group
Holdings,
Inc.,
Term
Loan
1,416,355
0.000%, 
(LIBOR
1M
+
3.000%),
3/9/2027
b
1,403,934
Total
6,266,174
Transportation
(0.5%)
American
Airlines,
Inc.,
Term
Loan
1,590,000
0.000%, 
(LIBOR
1M
+
4.750%),
3/24/2028
b,d,e
1,627,270
Genesee
&
Wyoming,
Inc.,
Term
Loan
985,050
2.203%, 
(LIBOR
3M
+
2.000%),
12/30/2026
b
981,051
SkyMiles
IP,
Ltd.,
Term
Loan
950,000
4.750%, 
(LIBOR
3M
+
3.750%),
10/20/2027
b
996,550
United
Airlines,
Inc.,
Term
Loan
735,424
1.865%, 
(LIBOR
1M
+
1.750%),
4/1/2024
b
713,229
Total
4,318,100
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
50
Principal
Amount
Bank
Loans
(9.1%)
a
Value
Utilities
(0.4%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
$
85,315
2.375%, 
(LIBOR
1M
+
2.250%),
9/24/2026
b
$
85,315
Core
and
Main,
LP,
Term
Loan
624,037
3.750%, 
(LIBOR
3M
+
2.750%),
8/1/2024
b
621,042
EnergySolutions,
LLC,
Term
Loan
423,038
4.750%, 
(LIBOR
3M
+
3.750%),
5/11/2025
b
420,394
Exgen
Renewables
IV,
LLC,
Term
Loan
947,625
3.750%, 
(LIBOR
3M
+
3.000%),
12/11/2027
b,d,e
948,023
PG&E
Corporation,
Term
Loan
1,211,947
3.500%, 
(LIBOR
3M
+
3.000%),
6/23/2025
b
1,209,293
Talen
Energy
Supply,
LLC,
Term
Loan
341,000
3.859%, 
(LIBOR
1M
+
3.750%),
7/8/2026
b
330,770
Total
3,614,837
Total
Bank
Loans
(cost
$77,276,065)
76,982,284
Principal
Amount
Long-Term
Fixed
Income
(
54.4%
)
Value
Asset-Backed
Securities
(2.4%)
522
Funding
CLO,
Ltd.
1,000,000
2.624%, 
(LIBOR
3M
+
2.400%),
4/20/2030,
Ser.
2019-4A,
Class
CR
b,g
999,482
950,000
4.051%, 
(LIBOR
3M
+
3.850%),
10/23/2033,
Ser.
2020-6A,
Class
D
b,g
952,886
Ares
LVII
CLO,
Ltd.
950,000
4.594%, 
(LIBOR
3M
+
4.350%),
10/25/2031,
Ser.
2020-57A,
Class
D
b,g
955,863
Babson
CLO,
Ltd.
1,500,000
3.124%, 
(LIBOR
3M
+
2.900%),
7/20/2029,
Ser.
2018-3A,
Class
D
b,g
1,455,231
Benefit
Street
Partners
CLO
II,
Ltd.
750,000
2.141%, 
(LIBOR
3M
+
1.900%),
7/15/2029,
Ser.
2013-IIA,
Class
BR2
b,g
739,664
Cent
CLO,
LP
2,950,000
2.518%, 
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
b,g
2,950,445
Conn's
Receivables
Funding
199,077
1.710%, 
6/16/2025,
Ser.
2020-A,
Class
A
g
199,731
Dryden
36
Senior
Loan
Fund
750,000
2.291%, 
(LIBOR
3M
+
2.050%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,g
750,052
Foundation
Finance
Trust
245,841
3.300%, 
7/15/2033,
Ser.
2017-1A,
Class
A
g
250,019
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Asset-Backed
Securities
(2.4%)
-
continued
Galaxy
XIX
CLO,
Ltd.
$
350,000
2.033%, 
(LIBOR
3M
+
1.850%),
7/24/2030,
Ser.
2015-19A,
Class
BRR
b,g
$
350,036
Harley
Marine
Financing,
LLC
1,227,788
5.682%, 
5/15/2043,
Ser.
2018-1A,
Class
A2
g
1,145,216
Octagon
Investment
Partners
50,
Ltd.
1,200,000
4.470%, 
(LIBOR
3M
+
4.300%),
10/15/2033,
Ser.
2020-4A,
Class
D
b,g
1,204,324
Palmer
Square
CLO,
Ltd.
1,500,000
2.241%, 
(LIBOR
3M
+
2.000%),
5/21/2029,
Ser.
2015-1A,
Class
BR3
b,g
1,496,097
Palmer
Square
Loan
Funding,
Ltd.
1,000,000
2.474%, 
(LIBOR
3M
+
2.250%),
4/20/2027,
Ser.
2019-1A,
Class
B
b,g
1,000,277
Saxon
Asset
Securities
Trust
399,056
3.672%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
385,452
Sound
Point
CLO
X,
Ltd.
1,150,000
2.924%, 
(LIBOR
3M
+
2.700%),
1/20/2028,
Ser.
2015-3A,
Class
DR
b,g
1,150,707
TCI-Flatiron
CLO,
Ltd.
2,435,000
2.436%, 
(LIBOR
3M
+
2.200%),
1/17/2032,
Ser.
2016-1A,
Class
CR2
b,g
2,430,934
THL
Credit
Wind
River
CLO,
Ltd.
1,250,000
3.091%, 
(LIBOR
3M
+
2.850%),
7/15/2028,
Ser.
2016-1A,
Class
DR
b,g
1,237,848
VCAT
Asset
Securitization,
LLC
250,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
g,h
249,483
Vericrest
Opportunity
Loan
Trust
725,000
4.336%, 
2/25/2050,
Ser.
2020-NPL2,
Class
A2
g,h
720,342
Total
20,624,089
Basic
Materials
(1.1%)
Air
Products
and
Chemicals,
Inc.
55,000
1.500%, 
10/15/2025
55,799
Alcoa
Nederland
Holding
BV
370,000
5.500%, 
12/15/2027
g
398,268
Anglo
American
Capital
plc
98,000
2.250%, 
3/17/2028
g
96,524
BWAY
Holding
Company
380,000
5.500%, 
4/15/2024
g
385,225
Chemours
Company
200,000
5.750%, 
11/15/2028
g
210,583
Cleveland-Cliffs,
Inc.
250,000
5.875%, 
6/1/2027
258,750
160,000
4.625%, 
3/1/2029
g
159,728
160,000
4.875%, 
3/1/2031
g
159,600
Consolidated
Energy
Finance
SA
285,000
6.875%, 
6/15/2025
g
290,344
DuPont
de
Nemours,
Inc.
97,000
4.725%, 
11/15/2028
112,743
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
51
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Basic
Materials
(1.1%)
-
continued
EI
du
Pont
de
Nemours
&
Company
$
78,000
1.700%, 
7/15/2025
$
79,299
First
Quantum
Minerals,
Ltd.
460,000
7.500%, 
4/1/2025
g
474,950
Freeport-McMoRan,
Inc.
360,000
4.125%, 
3/1/2028
378,432
390,000
4.250%, 
3/1/2030
415,350
Hecla
Mining
Company
120,000
7.250%, 
2/15/2028
128,700
Hudbay
Minerals,
Inc.
280,000
4.500%, 
4/1/2026
g
291,007
Ingevity
Corporation
430,000
3.875%, 
11/1/2028
g
417,100
Kinross
Gold
Corporation
108,000
5.125%, 
9/1/2021
108,779
Kraton
Polymers,
LLC
380,000
4.250%, 
12/15/2025
g
381,425
LYB
International
Finance
III,
LLC
137,000
1.250%, 
10/1/2025
135,271
Mercer
International,
Inc.
270,000
5.125%, 
2/1/2029
g
279,720
Mosaic
Company
55,000
3.250%, 
11/15/2022
57,134
147,000
4.050%, 
11/15/2027
163,175
Norbord,
Inc.
320,000
5.750%, 
7/15/2027
g
341,056
Novelis
Corporation
270,000
5.875%, 
9/30/2026
g
281,812
160,000
4.750%, 
1/30/2030
g
164,912
Nucor
Corporation
56,000
2.000%, 
6/1/2025
57,450
Nutrien,
Ltd.
98,000
4.000%, 
12/15/2026
109,837
OCI
NV
420,000
4.625%, 
10/15/2025
g
434,175
Olin
Corporation
500,000
5.125%, 
9/15/2027
517,500
Steel
Dynamics,
Inc.
67,000
2.400%, 
6/15/2025
69,831
Syngenta
Finance
NV
200,000
3.933%, 
4/23/2021
g
200,370
Tronox
Finance
plc
220,000
5.750%, 
10/1/2025
g
229,489
United
States
Steel
Corporation
450,000
6.875%, 
3/1/2029
460,125
Venator
Finance
SARL
290,000
5.750%, 
7/15/2025
g
281,300
Westlake
Chemical
Corporation
98,000
3.600%, 
8/15/2026
105,930
Xstrata
Finance
Canada,
Ltd.
163,000
4.950%, 
11/15/2021
g
167,551
Total
8,859,244
Capital
Goods
(1.9%)
AECOM
715,000
5.125%, 
3/15/2027
778,009
Amsted
Industries,
Inc.
315,000
5.625%, 
7/1/2027
g
334,294
Ardagh
Packaging
Finance
plc
259,000
6.000%, 
2/15/2025
g
266,899
400,000
5.250%, 
8/15/2027
g
408,032
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Capital
Goods
(1.9%)
-
continued
Boeing
Company
$
255,000
4.875%, 
5/1/2025
$
283,929
166,000
2.196%, 
2/4/2026
165,485
147,000
3.250%, 
3/1/2028
150,407
196,000
5.150%, 
5/1/2030
225,742
Bombardier,
Inc.
290,000
7.500%, 
3/15/2025
g
285,287
290,000
7.875%, 
4/15/2027
g
284,400
Brand
Industrial
Services,
Inc.
140,000
8.500%, 
7/15/2025
g
141,092
BWAY
Holding
Company
290,000
7.250%, 
4/15/2025
g
290,000
Carrier
Global
Corporation
147,000
2.722%, 
2/15/2030
148,337
Caterpillar
Financial
Services
Corporation
65,000
1.900%, 
9/6/2022
66,541
171,000
1.950%, 
11/18/2022
175,415
111,000
1.450%, 
5/15/2025
112,514
Chart
Industries,
Inc.,
Convertible
232,000
1.000%, 
11/15/2024
g
575,795
Cintas
Corporation
No.
2
162,000
2.900%, 
4/1/2022
165,747
CNH
Industrial
Capital,
LLC
165,000
4.875%, 
4/1/2021
165,000
67,000
1.950%, 
7/2/2023
68,801
Cornerstone
Building
Brands,
Inc.
390,000
6.125%, 
1/15/2029
g
415,350
Covanta
Holding
Corporation
280,000
6.000%, 
1/1/2027
292,250
95,000
5.000%, 
9/1/2030
95,950
CP
Atlas
Buyer,
Inc.
250,000
7.000%, 
12/1/2028
g
262,763
Crown
Americas
Capital
Corporation
IV
70,000
4.500%, 
1/15/2023
73,631
Crown
Cork
&
Seal
Company,
Inc.
410,000
7.375%, 
12/15/2026
493,538
General
Electric
Company
495,000
3.514%, 
(LIBOR
3M
+
3.330%),
6/15/2021
b,i
467,775
98,000
3.625%, 
5/1/2030
105,513
GFL
Environmental,
Inc.
100,000
4.000%, 
8/1/2028
g
96,750
280,000
3.500%, 
9/1/2028
g
271,600
Greenbrier
Companies,
Inc.,
Convertible
89,000
2.875%, 
2/1/2024
96,788
H&E
Equipment
Services,
Inc.
310,000
3.875%, 
12/15/2028
g
301,475
Honeywell
International,
Inc.
111,000
1.350%, 
6/1/2025
112,602
Howmet
Aerospace,
Inc.
360,000
6.875%, 
5/1/2025
417,150
Huntington
Ingalls
Industries,
Inc.
147,000
4.200%, 
5/1/2030
163,064
Jeld-Wen,
Inc.
340,000
4.625%, 
12/15/2025
g
344,250
John
Deere
Capital
Corporation
90,000
1.200%, 
4/6/2023
91,427
171,000
2.050%, 
1/9/2025
177,889
147,000
1.500%, 
3/6/2028
143,150
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
52
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Capital
Goods
(1.9%)
-
continued
KBR,
Inc.,
Convertible
$
501,000
2.500%, 
11/1/2023
$
790,014
Meritor,
Inc.
200,000
4.500%, 
12/15/2028
g
200,600
NESCO
Holdings
II,
Inc.
95,000
5.500%, 
4/15/2029
e,g
97,451
Otis
Worldwide
Corporation
172,000
2.056%, 
4/5/2025
177,099
Owens-Brockway
Glass
Container,
Inc.
250,000
5.875%, 
8/15/2023
g
267,813
Parker-Hannifin
Corporation
225,000
2.700%, 
6/14/2024
238,573
Patrick
Industries,
Inc.,
Convertible
149,000
1.000%, 
2/1/2023
173,771
Raytheon
Technologies
Corporation
98,000
4.125%, 
11/16/2028
110,361
Republic
Services,
Inc.
98,000
3.950%, 
5/15/2028
109,369
Roper
Technologies,
Inc.
117,000
2.350%, 
9/15/2024
122,291
111,000
1.000%, 
9/15/2025
109,099
Siemens
Financieringsmaatschappij
NV
147,000
1.700%, 
3/11/2028
g
144,310
SRM
Escrow
Issuer,
LLC
355,000
6.000%, 
11/1/2028
g
372,040
Standard
Industries,
Inc.
530,000
4.375%, 
7/15/2030
g
534,770
Textron,
Inc.
147,000
3.650%, 
3/15/2027
158,306
Titan
Acquisition,
Ltd.
125,000
7.750%, 
4/15/2026
g
129,838
TransDigm,
Inc.
220,000
6.250%, 
3/15/2026
g
233,244
770,000
5.500%, 
11/15/2027
797,050
70,000
4.625%, 
1/15/2029
g
69,024
United
Rentals
North
America,
Inc.
390,000
4.875%, 
1/15/2028
410,814
240,000
4.000%, 
7/15/2030
244,260
United
Technologies
Corporation
146,000
3.950%, 
8/16/2025
162,153
Waste
Pro
USA,
Inc.
140,000
5.500%, 
2/15/2026
g
143,325
WESCO
Distribution,
Inc.
330,000
7.250%, 
6/15/2028
g
368,410
WW
Grainger,
Inc.
115,000
1.850%, 
2/15/2025
118,503
Total
15,797,129
Collateralized
Mortgage
Obligations
(5.8%)
Alternative
Loan
Trust
478,060
6.000%, 
8/1/2036,
Ser.
2006-24CB,
Class
A9
382,049
Antler
Mortgage
Trust
7,513
4.458%, 
6/27/2022,
Ser.
2019-RTL1,
Class
A1
g
7,515
493,802
4.335%, 
7/25/2022,
Ser.
2018-RTL1,
Class
A1
g
494,679
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Collateralized
Mortgage
Obligations
(5.8%)
-
continued
Banc
of
America
Alternative
Loan
Trust
$
680,680
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
$
674,261
Banc
of
America
Mortgage
Securities
Trust
582,562
2.631%, 
9/25/2035,
Ser.
2005-H,
Class
3A1
b
586,042
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
41,932
2.410%, 
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
b
42,744
Bellemeade
Re,
Ltd.
896,075
1.709%, 
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,g
896,355
873,500
3.509%, 
(LIBOR
1M
+
3.400%),
6/25/2030,
Ser.
2020-1A,
Class
M1B
b,g
876,490
582,396
2.409%, 
(LIBOR
1M
+
2.300%),
8/26/2030,
Ser.
2020-2A,
Class
M1A
b,g
583,691
Business
Jet
Securities,
LLC
440,301
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
g
445,708
CHL
Mortgage
Pass-Through
Trust
841,442
2.716%, 
11/20/2035,
Ser.
2005-HYB7,
Class
6A1
b
740,034
351,175
2.793%, 
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
360,592
1,125,789
6.000%, 
11/25/2037,
Ser.
2007-18,
Class
1A2
880,979
CIM
Trust
601,596
5.000%, 
12/25/2057,
Ser.
2018-R3,
Class
A1
b,g
637,145
Citigroup
Mortgage
Loan
Trust,
Inc.
121,437
3.315%, 
3/25/2037,
Ser.
2007-AR4,
Class
2A1A
b
108,185
1,117,823
2.963%, 
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
1,120,670
Countrywide
Alternative
Loan
Trust
532,203
5.000%, 
3/25/2035,
Ser.
2005-3CB,
Class
1A1
527,634
228,656
2.746%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
b
219,348
213,280
2.889%, 
10/25/2035,
Ser.
2005-43,
Class
1A1
b
210,661
284,485
5.500%, 
2/25/2036,
Ser.
2005-85CB,
Class
2A2
273,595
866,239
6.500%, 
8/25/2036,
Ser.
2006-23CB,
Class
2A3
453,160
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
352,359
2.669%, 
11/25/2035,
Ser.
2005-22,
Class
2A1
b
335,956
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
799,370
5.250%, 
6/25/2035,
Ser.
2005-3,
Class
4A6
808,530
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
53
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Collateralized
Mortgage
Obligations
(5.8%)
-
continued
Eagle
Re,
Ltd.
$
812,112
1.909%, 
(LIBOR
1M
+
1.800%),
4/25/2029,
Ser.
2019-1,
Class
M1B
b,g
$
813,719
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
607,454
2.500%, 
12/15/2022,
Ser.
4155,
Class
AI
j
9,122
531,081
2.500%, 
5/15/2027,
Ser.
4106,
Class
HI
j
22,696
1,838,250
3.000%, 
5/15/2027,
Ser.
4046,
Class
GI
j
98,144
1,442,150
3.000%, 
7/15/2027,
Ser.
4084,
Class
NI
j
86,966
2,223,357
3.000%, 
7/15/2027,
Ser.
4074,
Class
IO
j
136,019
671,206
2.500%, 
2/15/2028,
Ser.
4162,
Class
AI
j
35,369
1,542,696
2.500%, 
2/15/2028,
Ser.
4161,
Class
UI
j
86,177
2,187,739
2.500%, 
3/15/2028,
Ser.
4177,
Class
EI
j
120,364
2,124,939
3.500%, 
10/15/2032,
Ser.
4119,
Class
KI
j
261,919
1,227,944
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
j
127,270
2,467,783
3.000%, 
4/15/2033,
Ser.
4203,
Class
DI
j
180,332
Federal
National
Mortgage
Association
-
REMIC
3,104,323
3.000%, 
7/25/2027,
Ser.
2012-73,
Class
DI
j
166,030
1,994,079
3.000%, 
7/25/2027,
Ser.
2012-74,
Class
AI
j
94,957
3,821,489
3.000%, 
8/25/2027,
Ser.
2012-95,
Class
HI
j
178,579
1,955,377
3.500%, 
9/25/2027,
Ser.
2012-98,
Class
YI
j
123,786
5,248,878
3.000%, 
11/25/2027,
Ser.
2012-121,
Class
BI
j
335,044
2,684,888
3.000%, 
12/25/2027,
Ser.
2012-139,
Class
DI
j
136,973
1,408,280
2.500%, 
1/25/2028,
Ser.
2012-152,
Class
AI
j
73,613
3,575,502
3.000%, 
1/25/2028,
Ser.
2012-147,
Class
EI
j
186,403
1,034,227
2.500%, 
2/25/2028,
Ser.
2013-46,
Class
CI
j
46,089
1,913,205
3.000%, 
2/25/2028,
Ser.
2013-2,
Class
GI
j
112,520
683,615
3.000%, 
4/25/2028,
Ser.
2013-30,
Class
DI
j
42,509
2,635,751
3.000%, 
11/25/2031,
Ser.
2013-69,
Class
IO
j
142,341
1,631,921
3.000%, 
2/25/2033,
Ser.
2013-1,
Class
YI
j
164,919
13,803,862
1.500%, 
2/25/2036,
Ser.
2021-1,
Class
IY
j
919,028
7,704,750
1.500%, 
2/25/2036,
Ser.
2021-3,
Class
UI
j
427,581
First
Horizon
Alternative
Mortgage
Securities
Trust
242,370
2.423%, 
3/25/2035,
Ser.
2005-AA2,
Class
1A1
b
231,975
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Collateralized
Mortgage
Obligations
(5.8%)
-
continued
$
227,269
2.504%, 
7/25/2035,
Ser.
2005-AA5,
Class
2A1
b
$
221,828
Genworth
Mortgage
Insurance
Corporation
700,000
2.009%, 
(LIBOR
1M
+
1.900%),
11/26/2029,
Ser.
2019-1,
Class
M1
b,g
700,973
GMAC
Mortgage
Corporation
Loan
Trust
524,538
3.657%, 
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
522,489
Government
National
Mortgage
Association
602,334
4.000%, 
1/16/2027,
Ser.
2012-3,
Class
IO
j
36,376
IndyMac
IMJA
Mortgage
Loan
Trust
624,951
6.250%, 
11/25/2037,
Ser.
2007-A3,
Class
A1
405,670
IndyMac
INDX
Mortgage
Loan
Trust
1,822,406
0.529%, 
(LIBOR
1M
+
0.420%),
4/25/2046,
Ser.
2006-AR2,
Class
1A1B
b
1,724,982
J.P.
Morgan
Alternative
Loan
Trust
553,469
6.500%, 
3/25/2036,
Ser.
2006-S1,
Class
1A19
443,914
J.P.
Morgan
Mortgage
Trust
105,033
6.500%, 
1/25/2035,
Ser.
2005-S1,
Class
1A2
113,745
423,517
2.945%, 
2/25/2036,
Ser.
2006-A1,
Class
2A2
b
373,932
Legacy
Mortgage
Asset
Trust
1,267,285
3.250%, 
2/25/2060,
Ser.
2020-GS4,
Class
A1
g,h
1,281,589
Master
Asset
Securitization
Trust
678,544
0.609%, 
(LIBOR
1M
+
0.500%),
6/25/2036,
Ser.
2006-2,
Class
2A2
b
151,692
MASTR
Alternative
Loans
Trust
237,957
0.559%, 
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
b
35,031
Merrill
Lynch
Alternative
Note
Asset
Trust
326,726
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
203,311
Merrill
Lynch
Mortgage
Investors
Trust
747,030
3.554%, 
6/25/2035,
Ser.
2005-A5,
Class
M1
b
434,154
Oaktown
Re
II,
Ltd.
413,106
1.659%, 
(LIBOR
1M
+
1.550%),
7/25/2028,
Ser.
2018-1A,
Class
M1
b,g
413,239
Preston
Ridge
Partners
Mortgage
Trust,
LLC
1,335,886
3.500%, 
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,g
1,346,951
991,794
4.750%, 
10/25/2024,
Ser.
2019-GS1,
Class
A2
b,g
994,210
690,955
3.671%, 
8/25/2025,
Ser.
2020-2,
Class
A1
g,h
698,628
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
54
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Collateralized
Mortgage
Obligations
(5.8%)
-
continued
Radnor
RE,
Ltd.
$
103,037
1.509%, 
(LIBOR
1M
+
1.400%),
3/25/2028,
Ser.
2018-1,
Class
M1
b,g
$
103,052
1,700,000
2.809%, 
(LIBOR
1M
+
2.700%),
3/25/2028,
Ser.
2018-1,
Class
M2
b,g
1,713,229
RCO
Mortgage,
LLC
754,730
3.475%, 
11/25/2024,
Ser.
2019-2,
Class
A1
g,h
758,983
Renaissance
Home
Equity
Loan
Trust
1,163,574
5.797%, 
8/25/2036,
Ser.
2006-2,
Class
AF3
h
652,556
Residential
Accredit
Loans,
Inc.
Trust
529,835
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
518,044
247,385
5.750%, 
9/25/2035,
Ser.
2005-QS13,
Class
2A3
246,153
316,039
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
306,253
511,266
5.750%, 
4/25/2037,
Ser.
2007-QS6,
Class
A28
487,060
313,291
6.250%, 
4/25/2037,
Ser.
2007-QS6,
Class
A6
305,512
Residential
Asset
Securitization
Trust
413,454
2.545%, 
1/25/2034,
Ser.
2004-IP1,
Class
A1
b
422,829
1,107,049
5.500%, 
4/25/2035,
Ser.
2005-A1,
Class
A3
1,145,100
Residential
Funding
Mortgage
Security
I
Trust
703,006
6.000%, 
7/25/2037,
Ser.
2007-S7,
Class
A20
674,406
Sequoia
Mortgage
Trust
600,127
3.114%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
b
467,076
Silver
Hill
Trust
889,648
3.102%, 
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,g
920,605
Stanwich
Mortgage
Loan
Trust
541,438
3.475%, 
11/16/2024,
Ser.
2019-NPB2,
Class
A1
g,h
544,518
Starwood
Mortgage
Residential
Trust
803,523
4.121%, 
10/25/2048,
Ser.
2018-IMC2,
Class
A1
b,g
820,721
1,175,000
3.970%, 
4/25/2060,
Ser.
2020-2,
Class
A2
b,g
1,226,446
Structured
Adjustable
Rate
Mortgage
Loan
Trust
220,320
3.223%, 
7/25/2035,
Ser.
2005-15,
Class
4A1
b
205,817
139,408
3.212%, 
9/25/2035,
Ser.
2005-18,
Class
1A1
b
113,511
Structured
Asset
Mortgage
Investments,
Inc.
522,643
0.729%, 
(LIBOR
1M
+
0.620%),
12/25/2035,
Ser.
2005-AR4,
Class
A1
b
503,522
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Collateralized
Mortgage
Obligations
(5.8%)
-
continued
Toorak
Mortgage
Corporation
$
1,700,000
4.458%, 
3/25/2022,
Ser.
2019-1,
Class
A1
g,h
$
1,718,465
1,250,000
2.734%, 
3/25/2023,
Ser.
2020-1,
Class
A1
g,h
1,252,885
Vericrest
Opportunity
Loan
Transferee
950,000
4.826%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A2
g,h
943,878
1,150,000
4.949%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A2
g,h
1,145,448
1,750,000
3.475%, 
3/25/2050,
Ser.
2020-NPL5,
Class
A1B
g,h
1,745,370
400,000
4.949%, 
4/25/2051,
Ser.
2021-NPL7,
Class
A2
c,g,h
400,000
Verus
Securitization
Trust
1,016,809
3.345%, 
5/25/2059,
Ser.
2019-2,
Class
A2
b,g
1,018,934
WaMu
Mortgage
Pass
Through
Certificates
626,270
1.139%, 
(12
MTA
+
0.880%),
10/25/2046,
Ser.
2006-AR13,
Class
1A
b
587,505
654,876
1.707%, 
(COF
11
+
1.250%),
3/25/2047,
Ser.
2007-OA2,
Class
2A
b
636,254
Washington
Mutual
Mortgage
Pass
Through
Certificates
715,746
7.000%, 
4/25/2037,
Ser.
2007-2,
Class
1A1
409,122
Washington
Mutual
Mortgage
Pass-Through
Certificates
361,103
6.000%, 
3/25/2035,
Ser.
2005-1,
Class
2A
355,738
Total
49,478,173
Commercial
Mortgage-Backed
Securities
(0.1%)
BFLD
Trust
950,000
1.806%, 
(LIBOR
1M
+
1.700%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,g
959,501
Total
959,501
Communications
Services
(2.6%)
AMC
Networks,
Inc.
340,000
4.250%, 
2/15/2029
330,650
American
Tower
Corporation
96,000
3.375%, 
5/15/2024
102,923
195,000
4.400%, 
2/15/2026
219,686
147,000
3.800%, 
8/15/2029
160,047
AT&T,
Inc.
190,000
4.450%, 
4/1/2024
208,402
195,000
1.700%, 
3/25/2026
194,932
147,000
4.300%, 
2/15/2030
165,488
CCO
Holdings,
LLC
700,000
5.500%, 
5/1/2026
g
721,910
460,000
5.125%, 
5/1/2027
g
486,365
565,000
4.750%, 
3/1/2030
g
585,481
Cengage
Learning,
Inc.
410,000
9.500%, 
6/15/2024
g,k
417,687
Charter
Communications
Operating,
LLC
170,000
4.500%, 
2/1/2024
185,936
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
55
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Communications
Services
(2.6%)
-
continued
$
104,000
4.908%, 
7/23/2025
$
117,899
147,000
5.050%, 
3/30/2029
168,965
Clear
Channel
Worldwide
Holdings,
Inc.
350,000
7.750%, 
4/15/2028
g
346,150
Comcast
Corporation
38,000
3.700%, 
4/15/2024
41,501
117,000
3.950%, 
10/15/2025
130,705
117,000
2.350%, 
1/15/2027
122,130
245,000
3.400%, 
4/1/2030
265,268
Consolidated
Communications,
Inc.
160,000
5.000%, 
10/1/2028
g
161,248
Cox
Communications,
Inc.
123,000
2.950%, 
6/30/2023
g
128,593
Crown
Castle
International
Corporation
98,000
3.800%, 
2/15/2028
106,760
CSC
Holdings,
LLC
205,000
5.500%, 
5/15/2026
g
211,355
520,000
5.375%, 
2/1/2028
g
546,650
Cumulus
Media
New
Holdings,
Inc.
260,000
6.750%, 
7/1/2026
g
264,875
Deutsche
Telekom
International
Finance
BV
105,000
2.485%, 
9/19/2023
g
109,352
Discovery
Communications,
LLC
114,000
2.950%, 
3/20/2023
119,104
DISH
DBS
Corporation
250,000
7.375%, 
7/1/2028
262,262
Embarq
Corporation
160,000
7.995%, 
6/1/2036
184,354
Entercom
Media
Corporation
250,000
6.500%, 
5/1/2027
g,k
258,437
Fox
Corporation
157,000
4.030%, 
1/25/2024
170,537
97,000
4.709%, 
1/25/2029
111,654
Front
Range
BidCo,
Inc.
380,000
4.000%, 
3/1/2027
g
373,350
250,000
6.125%, 
3/1/2028
g
256,563
Frontier
Communications
Corporation
230,000
5.875%, 
10/15/2027
g
243,800
95,000
6.750%, 
5/1/2029
g
100,196
GCI,
LLC
290,000
4.750%, 
10/15/2028
g
296,887
Hughes
Satellite
Systems
Corporation
150,000
6.625%, 
8/1/2026
166,215
iHeartCommunications,
Inc.
290,000
4.750%, 
1/15/2028
g
292,175
LCPR
Senior
Secured
Financing
DAC
250,000
6.750%, 
10/15/2027
g
266,537
Level
3
Financing,
Inc.
480,000
4.625%, 
9/15/2027
g
494,002
610,000
4.250%, 
7/1/2028
g
616,899
Liberty
Interactive,
LLC,
Convertible
172,000
3.500%, 
1/15/2031
171,140
Ligado
Networks,
LLC
140,000
0.000%,PIK
15.500%,
11/1/2023
c,f,g
131,176
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Communications
Services
(2.6%)
-
continued
Meredith
Corporation
$
300,000
6.500%, 
7/1/2025
g
$
321,864
Netflix,
Inc.
111,000
5.875%, 
2/15/2025
127,234
735,000
4.875%, 
4/15/2028
831,469
Nexstar
Escrow
Corporation
400,000
5.625%, 
7/15/2027
g
419,248
Nielsen
Finance,
LLC
130,000
5.625%, 
10/1/2028
g
136,662
NTT
Finance
Corporation
117,000
1.162%, 
4/3/2026
g
115,455
Omnicom
Group,
Inc.
97,000
4.200%, 
6/1/2030
109,160
Radiate
Holdco,
LLC
155,000
6.500%, 
9/15/2028
g
163,672
Scripps
Escrow
II,
Inc.
200,000
3.875%, 
1/15/2029
g
196,500
150,000
5.375%, 
1/15/2031
g
148,875
SFR
Group
SA
650,000
7.375%, 
5/1/2026
g
676,065
Sinclair
Television
Group,
Inc.
430,000
5.500%, 
3/1/2030
g
418,175
Sirius
XM
Radio,
Inc.
445,000
5.000%, 
8/1/2027
g
466,827
Sprint
Capital
Corporation
400,000
6.875%, 
11/15/2028
504,388
295,000
8.750%, 
3/15/2032
436,231
Sprint
Corporation
960,000
7.625%, 
2/15/2025
1,144,800
Terrier
Media
Buyer,
Inc.
210,000
8.875%, 
12/15/2027
g
225,970
T-Mobile
USA,
Inc.
113,000
3.500%, 
4/15/2025
g
121,913
146,000
3.750%, 
4/15/2027
g
159,601
196,000
3.875%, 
4/15/2030
g
212,731
130,000
2.875%, 
2/15/2031
125,645
United
States
Cellular
Corporation
250,000
6.700%, 
12/15/2033
302,797
Uniti
Group,
LP
140,000
6.500%, 
2/15/2029
g
138,250
Univision
Communications,
Inc.
520,000
6.625%, 
6/1/2027
g
555,321
VeriSign,
Inc.
210,000
4.750%, 
7/15/2027
222,863
Verizon
Communications,
Inc.
98,000
0.750%, 
3/22/2024
98,108
133,000
1.298%, 
(LIBOR
3M
+
1.100%),
5/15/2025
b
135,993
222,000
0.850%, 
11/20/2025
217,255
195,000
2.100%, 
3/22/2028
195,817
147,000
3.150%, 
3/22/2030
155,045
98,000
2.550%, 
3/21/2031
97,911
Viacom,
Inc.
118,000
5.875%, 
2/28/2057
b
119,925
ViaSat,
Inc.
410,000
5.625%, 
9/15/2025
g
416,749
VTR
Finance
NV
190,000
6.375%, 
7/15/2028
g,k
205,200
Walt
Disney
Company
195,000
1.750%, 
1/13/2026
199,449
97,000
3.800%, 
3/22/2030
108,117
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
56
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Communications
Services
(2.6%)
-
continued
Ziggo
BV
$
374,000
5.500%, 
1/15/2027
g
$
389,428
Total
21,636,959
Consumer
Cyclical
(3.4%)
1011778
B.C.,
ULC
440,000
4.375%, 
1/15/2028
g
442,077
Allied
Universal
Holdco,
LLC
300,000
6.625%, 
7/15/2026
g
318,144
Allison
Transmission,
Inc
410,000
3.750%, 
1/30/2031
g
397,187
Amazon.com,
Inc.
98,000
1.500%, 
6/3/2030
93,382
American
Axle
&
Manufacturing,
Inc.
480,000
6.500%, 
4/1/2027
k
498,000
American
Honda
Finance
Corporation
49,000
1.200%, 
7/8/2025
48,792
Best
Buy
Company,
Inc.
98,000
1.950%, 
10/1/2030
92,307
Bloomin'
Brands,
Inc.,
Convertible
149,000
5.000%, 
5/1/2025
g
359,649
BMW
Finance
NV
109,000
2.250%, 
8/12/2022
g
111,567
Booking
Holdings,
Inc.,
Convertible
74,000
0.900%, 
9/15/2021
86,728
Brookfield
Residential
Properties,
Inc.
620,000
6.250%, 
9/15/2027
g
647,125
Burlington
Stores,
Inc.,
Convertible
581,000
2.250%, 
4/15/2025
g
872,589
Caesars
Entertainment,
Inc.
95,000
8.125%, 
7/1/2027
g
104,761
Carnival
Corporation
300,000
11.500%, 
4/1/2023
g
343,875
210,000
10.500%, 
2/1/2026
g
247,012
100,000
7.625%, 
3/1/2026
g
107,430
320,000
5.750%, 
3/1/2027
g
328,400
Cedar
Fair,
LP
380,000
5.250%, 
7/15/2029
390,598
Cinemark
USA,
Inc.
330,000
5.875%, 
3/15/2026
g
337,900
Clarios
Global,
LP
140,000
8.500%, 
5/15/2027
g
150,675
Colt
Merger
Sub,
Inc.
620,000
6.250%, 
7/1/2025
g
660,929
D.R.
Horton,
Inc.
56,000
2.600%, 
10/15/2025
58,901
Daimler
Finance
North
America,
LLC
150,000
1.450%, 
3/2/2026
g
148,692
Dana,
Inc.
305,000
5.625%, 
6/15/2028
326,350
Darden
Restaurants,
Inc.
195,000
3.850%, 
5/1/2027
212,277
Dick's
Sporting
Goods,
Inc.,
Convertible
232,000
3.250%, 
4/15/2025
g
531,570
Empire
Communities
Corporation
290,000
7.000%, 
12/15/2025
g
305,587
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Consumer
Cyclical
(3.4%)
-
continued
Expedia
Group,
Inc.,
Convertible
$
351,000
Zero
Coupon, 
2/15/2026
g
$
383,116
Ford
Motor
Company
170,000
9.000%, 
4/22/2025
205,890
100,000
9.625%, 
4/22/2030
139,554
355,000
7.450%, 
7/16/2031
447,595
Ford
Motor
Company,
Convertible
630,000
Zero
Coupon, 
3/15/2026
g
636,300
Ford
Motor
Credit
Company,
LLC
990,000
4.063%, 
11/1/2024
1,038,559
720,000
4.134%, 
8/4/2025
753,066
Gap,
Inc.
190,000
8.625%, 
5/15/2025
g
212,752
General
Motors
Company
111,000
6.125%, 
10/1/2025
130,526
147,000
6.800%, 
10/1/2027
182,363
General
Motors
Financial
Company,
Inc.
108,000
3.150%, 
6/30/2022
111,040
233,000
3.950%, 
4/13/2024
250,764
43,000
2.900%, 
2/26/2025
45,085
111,000
2.750%, 
6/20/2025
115,873
196,000
5.700%, 
9/30/2030
b,i
211,680
Hanesbrands,
Inc.
405,000
4.875%, 
5/15/2026
g
434,362
Harley-Davidson
Financial
Services,
Inc.
180,000
4.050%, 
2/4/2022
g
185,090
Herc
Holdings,
Inc.
260,000
5.500%, 
7/15/2027
g
276,692
Hilton
Domestic
Operating
Company,
Inc.
760,000
4.875%, 
1/15/2030
806,208
Home
Depot,
Inc.
111,000
3.750%, 
2/15/2024
120,501
98,000
2.950%, 
6/15/2029
103,901
Hyundai
Capital
America
78,000
1.800%, 
10/15/2025
g
77,921
147,000
3.000%, 
2/10/2027
g
152,938
International
Game
Technology
plc
315,000
5.250%, 
1/15/2029
g
328,545
KB
Home
330,000
4.800%, 
11/15/2029
345,675
Kohl's
Corporation
199,000
9.500%, 
5/15/2025
258,028
98,000
3.375%, 
5/1/2031
98,077
L
Brands,
Inc.
420,000
6.625%, 
10/1/2030
g
479,556
100,000
6.875%, 
11/1/2035
119,179
Landry's,
Inc.
320,000
6.750%, 
10/15/2024
g
323,574
Lennar
Corporation
65,000
4.125%, 
1/15/2022
66,007
6,000
4.875%, 
12/15/2023
6,554
58,000
5.875%, 
11/15/2024
65,830
110,000
4.750%, 
5/30/2025
122,512
Levi
Strauss
&
Company
420,000
3.500%, 
3/1/2031
g
405,300
Live
Nation
Entertainment,
Inc.
200,000
3.750%, 
1/15/2028
g
197,250
Lowe's
Companies,
Inc.
111,000
4.000%, 
4/15/2025
122,806
98,000
4.500%, 
4/15/2030
113,043
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
57
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Consumer
Cyclical
(3.4%)
-
continued
Marriott
International,
Inc.
$
71,000
5.750%, 
5/1/2025
$
81,472
223,000
3.750%, 
10/1/2025
238,199
Mattamy
Group
Corporation
430,000
5.250%, 
12/15/2027
g
449,887
McDonald's
Corporation
294,000
3.800%, 
4/1/2028
325,432
MGM
Resorts
International
575,000
5.750%, 
6/15/2025
626,750
Nissan
Motor
Company,
Ltd.
116,000
3.043%, 
9/15/2023
g
121,361
O'Reilly
Automotive,
Inc.
147,000
3.900%, 
6/1/2029
161,085
PetSmart,
Inc.
230,000
4.750%, 
2/15/2028
g
235,223
210,000
7.750%, 
2/15/2029
g
227,314
Prime
Security
Services
Borrower,
LLC
650,000
5.750%, 
4/15/2026
g
703,332
Procter
&
Gamble
Company
98,000
1.200%, 
10/29/2030
90,688
Ralph
Lauren
Corporation
111,000
1.700%, 
6/15/2022
112,761
Real
Hero
Merger
Sub
2,
Inc.
210,000
6.250%, 
2/1/2029
g
216,825
Realogy
Group,
LLC
350,000
5.750%, 
1/15/2029
g
345,187
Rite
Aid
Corporation
140,000
7.500%, 
7/1/2025
g
145,425
Ross
Stores,
Inc.
98,000
1.875%, 
4/15/2031
91,933
Royal
Caribbean
Cruises,
Ltd.
400,000
9.125%, 
6/15/2023
g
440,772
150,000
11.500%, 
6/1/2025
g
174,938
150,000
5.500%, 
4/1/2028
g
150,750
Scientific
Games
International,
Inc.
470,000
5.000%, 
10/15/2025
g
486,779
350,000
7.250%, 
11/15/2029
g
379,750
SeaWorld
Parks
and
Entertainment,
Inc.
200,000
9.500%, 
8/1/2025
g
217,365
Six
Flags
Entertainment
Corporation
195,000
5.500%, 
4/15/2027
g,k
202,069
Six
Flags
Theme
Parks,
Inc.
190,000
7.000%, 
7/1/2025
g
205,438
Staples,
Inc.
520,000
7.500%, 
4/15/2026
g
548,470
Target
Corporation
98,000
2.350%, 
2/15/2030
99,357
Tenneco,
Inc.
200,000
5.000%, 
7/15/2026
k
188,500
TJX
Companies,
Inc.
111,000
3.500%, 
4/15/2025
121,004
Toll
Brothers
Finance
Corporation
222,000
5.875%, 
2/15/2022
227,550
Toyota
Motor
Credit
Corporation
112,000
0.450%, 
1/11/2024
111,693
151,000
0.800%, 
10/16/2025
148,370
Uber
Technologies,
Inc.
210,000
6.250%, 
1/15/2028
g
228,732
Under
Armour,
Inc.,
Convertible
74,000
1.500%, 
6/1/2024
g
144,994
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Consumer
Cyclical
(3.4%)
-
continued
VF
Corporation
$
116,000
2.050%, 
4/23/2022
$
117,901
Vista
Outdoor,
Inc.
350,000
4.500%, 
3/15/2029
g
346,309
Volkswagen
Group
of
America
Finance,
LLC
200,000
4.250%, 
11/13/2023
g
217,358
56,000
3.350%, 
5/13/2025
g
60,128
Wyndham
Destinations,
Inc.
250,000
6.625%, 
7/31/2026
g
283,838
Wyndham
Hotels
&
Resorts,
Inc.
150,000
4.375%, 
8/15/2028
g
151,725
Yum!
Brands,
Inc.
390,000
4.750%, 
1/15/2030
g
412,347
ZF
North
America
Capital,
Inc.
200,000
4.750%, 
4/29/2025
g
214,706
Total
28,349,933
Consumer
Non-Cyclical
(3.2%)
Abbott
Laboratories
195,000
3.875%, 
9/15/2025
216,282
AbbVie,
Inc.
108,000
2.900%, 
11/6/2022
112,008
107,000
2.800%, 
3/15/2023
110,946
457,000
3.600%, 
5/14/2025
497,868
195,000
3.200%, 
11/21/2029
207,436
Agilent
Technologies,
Inc
98,000
2.300%, 
3/12/2031
95,426
Albertson's
Companies,
Inc.
610,000
3.500%, 
3/15/2029
g
580,500
190,000
4.875%, 
2/15/2030
g
195,320
Altria
Group,
Inc.
119,000
4.400%, 
2/14/2026
134,190
98,000
4.800%, 
2/14/2029
112,603
Amgen,
Inc.
147,000
2.450%, 
2/21/2030
148,018
Anheuser-Busch
Companies,
LLC
113,000
3.650%, 
2/1/2026
124,242
Anheuser-Busch
InBev
Worldwide,
Inc.
106,000
4.150%, 
1/23/2025
117,798
195,000
4.750%, 
1/23/2029
227,867
Anthem,
Inc.
166,000
2.375%, 
1/15/2025
173,490
98,000
2.550%, 
3/15/2031
98,016
Aramark
Services,
Inc.
180,000
6.375%, 
5/1/2025
g
190,800
AstraZeneca
plc
194,000
0.700%, 
4/8/2026
186,847
BAT
Capital
Corporation
89,000
3.222%, 
8/15/2024
94,817
BAT
International
Finance
plc
111,000
1.668%, 
3/25/2026
109,865
Bausch
Health
Companies,
Inc.
120,000
5.000%, 
1/30/2028
g
121,500
450,000
5.000%, 
2/15/2029
g
446,906
Becton,
Dickinson
and
Company
147,000
2.823%, 
5/20/2030
150,698
Boston
Scientific
Corporation
144,000
3.450%, 
3/1/2024
154,584
Bristol-Myers
Squibb
Company
195,000
3.200%, 
6/15/2026
212,111
146,000
3.900%, 
2/20/2028
164,235
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
58
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Consumer
Non-Cyclical
(3.2%)
-
continued
Bunge,
Ltd.
Finance
Corporation
$
94,000
1.630%, 
8/17/2025
$
94,041
Callaway
Golf
Company,
Convertible
44,000
2.750%, 
5/1/2026
g
75,295
Cargill,
Inc.
114,000
1.375%, 
7/23/2023
g
116,342
Centene
Corporation
172,000
5.375%, 
8/15/2026
g
181,443
150,000
4.250%, 
12/15/2027
157,781
165,000
4.625%, 
12/15/2029
178,580
610,000
3.000%, 
10/15/2030
608,987
Central
Garden
&
Pet
Company
350,000
4.125%, 
10/15/2030
353,500
Cigna
Corporation
156,000
4.125%, 
11/15/2025
173,941
Coca-Cola
Company
147,000
1.500%, 
3/5/2028
144,536
Community
Health
Systems,
Inc.
140,000
5.625%, 
3/15/2027
g
146,650
200,000
6.000%, 
1/15/2029
g
211,500
370,000
6.875%, 
4/15/2029
g
387,342
Conagra
Brands,
Inc.
118,000
4.300%, 
5/1/2024
130,119
Constellation
Brands,
Inc.
195,000
3.150%, 
8/1/2029
204,248
CVS
Health
Corporation
108,000
2.750%, 
12/1/2022
111,540
149,000
4.100%, 
3/25/2025
k
165,057
196,000
4.300%, 
3/25/2028
222,574
98,000
3.750%, 
4/1/2030
106,905
DaVita,
Inc.
470,000
4.625%, 
6/1/2030
g
478,864
Diageo
Capital
plc
133,000
1.375%, 
9/29/2025
134,235
Edgewell
Personal
Care
Company
200,000
5.500%, 
6/1/2028
g
211,200
Encompass
Health
Corporation
550,000
4.500%, 
2/1/2028
563,266
Endo
Finance,
LLC
190,000
9.500%, 
7/31/2027
g
206,388
Energizer
Holdings,
Inc.
335,000
4.375%, 
3/31/2029
g
336,173
Estee
Lauder
Companies,
Inc.
98,000
1.950%, 
3/15/2031
94,975
General
Mills,
Inc.
97,000
4.200%, 
4/17/2028
109,555
Gilead
Sciences,
Inc.
147,000
2.950%, 
3/1/2027
156,290
H.
J.
Heinz
Company
100,000
5.200%, 
7/15/2045
115,656
HCA,
Inc.
1,160,000
5.375%, 
2/1/2025
1,293,997
244,000
5.250%, 
6/15/2026
280,443
HLF
Financing
SARL,
LLC
300,000
7.250%, 
8/15/2026
g
314,250
Illumina,
Inc.
350,000
9.000%, 
7/1/2028
g
393,855
Illumina,
Inc.,
Convertible
44,000
0.500%, 
6/15/2021
66,165
Imperial
Brands
Finance
plc
105,000
3.125%, 
7/26/2024
g
110,964
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Consumer
Non-Cyclical
(3.2%)
-
continued
Ionis
Pharmaceuticals,
Inc.,
Convertible
$
119,000
0.125%, 
12/15/2024
$
113,607
JBS
Investments
II
GmbH
90,000
5.750%, 
1/15/2028
g
94,950
JBS
USA,
LLC
430,000
5.500%, 
1/15/2030
g
475,900
Keurig
Dr
Pepper,
Inc.
195,000
2.250%, 
3/15/2031
191,718
Kraft
Foods
Group,
Inc.
500,000
5.000%, 
6/4/2042
562,701
Kraft
Heinz
Foods
Company
500,000
4.625%, 
1/30/2029
561,166
550,000
3.750%, 
4/1/2030
583,741
230,000
4.250%, 
3/1/2031
253,215
Kroger
Company
98,000
4.500%, 
1/15/2029
113,594
Mattel,
Inc.
375,000
3.375%, 
4/1/2026
g
387,165
McKesson
Corporation
111,000
0.900%, 
12/3/2025
108,693
97,000
3.950%, 
2/16/2028
108,440
Medtronic,
Inc.
40,000
3.500%, 
3/15/2025
43,873
Molina
Healthcare,
Inc.
350,000
4.375%, 
6/15/2028
g
360,136
MPH
Acquisition
Holdings,
LLC
220,000
5.750%, 
11/1/2028
g,k
214,500
Mylan,
Inc.
73,000
4.200%, 
11/29/2023
78,755
Novartis
Capital
Corporation
114,000
1.750%, 
2/14/2025
117,376
209,000
3.000%, 
11/20/2025
225,620
Ortho-Clinical
Diagnostics,
Inc.
210,000
7.250%, 
2/1/2028
g
230,089
Par
Pharmaceutical,
Inc.
470,000
7.500%, 
4/1/2027
g
498,506
PepsiCo,
Inc.
147,000
1.625%, 
5/1/2030
140,528
Philip
Morris
International,
Inc.
209,000
1.500%, 
5/1/2025
211,842
Pilgrim's
Pride
Corporation
200,000
5.875%, 
9/30/2027
g
214,340
QBE
Insurance
Group,
Ltd.
240,000
5.875%, 
5/12/2025
b,g,i
258,300
Royalty
Pharma
plc
222,000
1.200%, 
9/2/2025
g
217,408
Scotts
Miracle-Gro
Company
480,000
4.500%, 
10/15/2029
494,856
SEG
Holding,
LLC
400,000
5.625%, 
10/15/2028
g
419,000
Simmons
Foods,
Inc.
200,000
4.625%, 
3/1/2029
g
201,754
Spectrum
Brands,
Inc.
240,000
5.000%, 
10/1/2029
g
253,200
150,000
5.500%, 
7/15/2030
g
160,500
Stryker
Corporation
97,000
3.650%, 
3/7/2028
107,154
Syneos
Health,
Inc.
310,000
3.625%, 
1/15/2029
g
301,475
Sysco
Corporation
175,000
5.650%, 
4/1/2025
203,491
98,000
5.950%, 
4/1/2030
122,459
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
59
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Consumer
Non-Cyclical
(3.2%)
-
continued
Teleflex,
Inc.
$
725,000
4.875%, 
6/1/2026
$
743,125
Tenet
Healthcare
Corporation
240,000
4.625%, 
7/15/2024
244,966
700,000
5.125%, 
11/1/2027
g
731,990
140,000
6.125%, 
10/1/2028
g
146,125
Teva
Pharmaceutical
Finance
Netherlands
III
BV
52,000
2.200%, 
7/21/2021
51,935
440,000
2.800%, 
7/21/2023
438,042
Thermo
Fisher
Scientific,
Inc.
112,000
4.133%, 
3/25/2025
124,370
United
Natural
Foods,
Inc.
290,000
6.750%, 
10/15/2028
g
309,938
UnitedHealth
Group,
Inc.
245,000
3.850%, 
6/15/2028
275,040
Upjohn,
Inc.
111,000
1.650%, 
6/22/2025
g
111,392
VRX
Escrow
Corporation
1,075,000
6.125%, 
4/15/2025
g
1,102,090
Winnebago
Industries,
Inc.,
Convertible
308,000
1.500%, 
4/1/2025
426,580
Zoetis,
Inc.
109,000
3.250%, 
2/1/2023
113,592
146,000
3.900%, 
8/20/2028
162,348
Total
27,232,615
Energy
(2.7%)
Antero
Midstream
Partners,
LP
150,000
5.750%, 
3/1/2027
g
150,033
Antero
Resources
Corporation
285,000
5.000%, 
3/1/2025
k
285,219
Apache
Corporation
310,000
4.375%, 
10/15/2028
309,070
240,000
5.100%, 
9/1/2040
234,600
Archrock
Partners,
LP
290,000
6.250%, 
4/1/2028
g
294,582
BP
Capital
Markets
America,
Inc.
79,000
2.520%, 
9/19/2022
81,237
114,000
2.937%, 
4/6/2023
119,740
235,000
4.234%, 
11/6/2028
266,607
BP
Capital
Markets
plc
240,000
4.875%, 
3/22/2030
b,i
257,100
Buckeye
Partners,
LP
120,000
4.125%, 
3/1/2025
g
122,435
280,000
3.950%, 
12/1/2026
276,769
Canadian
Natural
Resources,
Ltd.
244,000
2.050%, 
7/15/2025
246,731
Cenovus
Energy,
Inc.
267,000
5.375%, 
7/15/2025
300,058
Centennial
Resource
Production,
LLC
290,000
6.875%, 
4/1/2027
g,k
258,100
Cheniere
Corpus
Christi
Holdings,
LLC
200,000
5.875%, 
3/31/2025
227,912
Cheniere
Energy
Partners,
LP
720,000
5.625%, 
10/1/2026
752,904
Cheniere
Energy,
Inc.,
Convertible
77,000
4.250%, 
3/15/2045
62,907
Chevron
Corporation
56,000
1.141%, 
5/11/2023
56,972
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Energy
(2.7%)
-
continued
$
111,000
1.554%, 
5/11/2025
$
113,265
Chevron
USA,
Inc.
115,000
3.900%, 
11/15/2024
126,624
Cimarex
Energy
Company
195,000
4.375%, 
6/1/2024
212,076
CNX
Resources
Corporation
175,000
6.000%, 
1/15/2029
g
181,856
Comstock
Resources,
Inc.
200,000
9.750%, 
8/15/2026
217,000
Continental
Resources,
Inc.
36,000
4.500%, 
4/15/2023
37,285
150,000
4.375%, 
1/15/2028
k
157,725
200,000
5.750%, 
1/15/2031
g
225,972
Devon
Energy
Corporation
69,000
5.850%, 
12/15/2025
80,456
Diamondback
Energy,
Inc.
74,000
2.875%, 
12/1/2024
78,036
49,000
3.125%, 
3/24/2031
48,919
Enagas
SA
430,000
5.500%, 
1/15/2028
g
419,960
Enbridge,
Inc.
98,000
3.700%, 
7/15/2027
106,578
887,000
6.250%, 
3/1/2078
b
928,602
Encana
Corporation
150,000
6.625%, 
8/15/2037
180,384
Endeavor
Energy
Resources,
LP
210,000
5.750%, 
1/30/2028
g
221,827
Energean
Israel
Finance,
Ltd.
290,000
4.500%, 
3/30/2024
g
291,473
Energy
Transfer
Operating,
LP
80,000
4.200%, 
9/15/2023
85,670
220,000
5.875%, 
1/15/2024
244,898
264,000
6.625%, 
2/15/2028
b,i
233,640
147,000
3.750%, 
5/15/2030
151,552
EnLink
Midstream
Partners,
LP
310,000
4.850%, 
7/15/2026
299,469
185,000
5.600%, 
4/1/2044
153,550
Enterprise
Products
Operating,
LLC
97,000
4.150%, 
10/16/2028
109,291
430,000
4.875%, 
8/16/2077
b
404,379
EOG
Resources,
Inc.
74,000
2.625%, 
3/15/2023
76,818
EQM
Midstream
Partners,
LP
350,000
6.500%, 
7/1/2027
g
380,538
150,000
6.500%, 
7/15/2048
149,625
EQT
Corporation
445,000
3.900%, 
10/1/2027
453,900
EQT
Corporation,
Convertible
223,000
1.750%, 
5/1/2026
g
327,542
Equinor
ASA
70,000
2.875%, 
4/6/2025
74,744
Exxon
Mobil
Corporation
195,000
2.992%, 
3/19/2025
208,959
Genesis
Energy,
LP
150,000
6.500%, 
10/1/2025
147,038
Harvest
Midstream,
LP
370,000
7.500%, 
9/1/2028
g
397,639
Hess
Corporation
74,000
3.500%, 
7/15/2024
78,072
Hess
Midstream
Operations,
LP
250,000
5.625%, 
2/15/2026
g
257,500
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
60
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Energy
(2.7%)
-
continued
Hilcorp
Energy
I,
LP
$
300,000
5.750%, 
2/1/2029
g
$
302,625
Kinder
Morgan
Energy
Partners,
LP
145,000
3.450%, 
2/15/2023
151,810
Marathon
Oil
Corporation
98,000
4.400%, 
7/15/2027
107,880
Marathon
Petroleum
Corporation
53,000
4.750%, 
12/15/2023
58,211
111,000
4.700%, 
5/1/2025
124,754
MPLX,
LP
243,000
1.750%, 
3/1/2026
243,371
Murphy
Oil
Corporation
280,000
5.875%, 
12/1/2027
274,400
Nabors
Industries,
Ltd.
235,000
7.250%, 
1/15/2026
g
195,050
National
Fuel
Gas
Company
195,000
5.500%, 
1/15/2026
222,854
Newfield
Exploration
Company
372,000
5.625%, 
7/1/2024
408,949
NGL
Energy
Operating,
LLC
200,000
7.500%, 
2/1/2026
g
205,500
NGL
Energy
Partners,
LP
200,000
7.500%, 
11/1/2023
193,000
NuStar
Logistics,
LP
360,000
5.750%, 
10/1/2025
385,387
Occidental
Petroleum
Corporation
180,000
3.450%, 
7/15/2024
180,000
590,000
2.900%, 
8/15/2024
583,534
210,000
3.400%, 
4/15/2026
203,910
95,000
8.500%, 
7/15/2027
112,575
360,000
3.500%, 
8/15/2029
337,788
200,000
6.450%, 
9/15/2036
220,752
500,000
4.400%, 
4/15/2046
428,220
ONEOK,
Inc.
146,000
2.200%, 
9/15/2025
148,654
Ovintiv,
Inc.
100,000
7.375%, 
11/1/2031
127,199
PBF
Holding
Company,
LLC
290,000
9.250%, 
5/15/2025
g
296,076
PDC
Energy,
Inc.,
Convertible
17,000
1.125%, 
9/15/2021
16,851
Pioneer
Natural
Resources
Company
146,000
1.900%, 
8/15/2030
135,497
Pioneer
Natural
Resources
Company,
Convertible
186,000
0.250%, 
5/15/2025
g
291,276
Plains
All
American
Pipeline,
LP
110,000
6.125%, 
11/15/2022
b,i
89,382
238,000
4.650%, 
10/15/2025
260,781
Range
Resources
Corporation
150,000
9.250%, 
2/1/2026
162,978
150,000
8.250%, 
1/15/2029
g
160,500
Sabine
Pass
Liquefaction,
LLC
147,000
4.200%, 
3/15/2028
161,271
Schlumberger
Finance
Canada,
Ltd.
111,000
1.400%, 
9/17/2025
111,094
Schlumberger
Holdings
Corporation
61,000
4.300%, 
5/1/2029
g
67,774
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Energy
(2.7%)
-
continued
Shell
International
Finance
BV
$
71,000
2.375%, 
4/6/2025
$
74,838
Southwestern
Energy
Company
330,000
7.500%, 
4/1/2026
k
349,147
Suncor
Energy,
Inc.
112,000
3.100%, 
5/15/2025
119,609
Sunoco,
LP
370,000
5.875%, 
3/15/2028
387,253
Targa
Resources
Partners,
LP
160,000
5.375%, 
2/1/2027
165,930
100,000
5.000%, 
1/15/2028
104,125
Teine
Energy,
Ltd.
280,000
6.875%, 
4/15/2029
e,g
283,388
Transocean
Guardian,
Ltd.
242,875
5.875%, 
1/15/2024
g
212,516
Transocean
Proteus,
Ltd.
108,000
6.250%, 
12/1/2024
g
102,600
USA
Compression
Partners,
LP
150,000
6.875%, 
4/1/2026
153,844
Vine
Energy
Holdings,
LLC
185,000
6.750%, 
4/15/2029
e,g
185,000
W&T
Offshore,
Inc.
340,000
9.750%, 
11/1/2023
g
300,798
Weatherford
International,
Ltd.
300,000
8.750%, 
9/1/2024
g
313,830
250,000
11.000%, 
12/1/2024
g
240,000
Western
Gas
Partners,
LP
110,000
4.000%, 
7/1/2022
112,753
Western
Midstream
Operating,
LP
210,000
4.350%, 
2/1/2025
217,350
300,000
3.950%, 
6/1/2025
308,103
160,000
5.500%, 
8/15/2048
157,459
Williams
Companies,
Inc.
98,000
2.600%, 
3/15/2031
95,788
Williams
Partners,
LP
90,000
4.500%, 
11/15/2023
98,009
WPX
Energy,
Inc.
111,000
5.250%, 
9/15/2024
123,071
Total
23,241,152
Financials
(6.5%)
ACE
INA
Holdings,
Inc.
70,000
2.875%, 
11/3/2022
72,401
AerCap
Ireland
Capital
DAC
90,000
3.150%, 
2/15/2024
93,775
150,000
6.500%, 
7/15/2025
174,867
Air
Lease
Corporation
220,000
4.650%, 
6/15/2026
b,i
217,250
Aircastle,
Ltd.
185,000
5.000%, 
4/1/2023
197,183
Ally
Financial,
Inc.
430,000
5.750%, 
11/20/2025
488,513
98,000
8.000%, 
11/1/2031
136,482
American
Express
Company
55,000
3.700%, 
8/3/2023
58,868
113,000
3.400%, 
2/22/2024
121,606
American
International
Group,
Inc.
196,000
4.200%, 
4/1/2028
220,114
Ares
Capital
Corporation
57,000
4.250%, 
3/1/2025
61,151
226,000
3.875%, 
1/15/2026
238,179
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
61
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Financials
(6.5%)
-
continued
Ares
Capital
Corporation,
Convertible
$
158,000
4.625%, 
3/1/2024
$
171,730
Athene
Global
Funding
165,000
4.000%, 
1/25/2022
g,k
169,796
Australia
and
New
Zealand
Banking
Group,
Ltd.
216,000
2.950%, 
7/22/2030
b,g
223,238
Aviation
Capital
Group,
LLC
150,000
5.500%, 
12/15/2024
g
167,721
Avolon
Holdings
Funding,
Ltd.
57,000
5.250%, 
5/15/2024
g
61,567
89,000
4.250%, 
4/15/2026
g
93,220
BAC
Capital
Trust
XIV
248,000
4.000%, 
(LIBOR
3M
+
0.400%),
4/19/2021
b,i,k
243,660
Banco
Santander
Mexico
SA
67,000
5.375%, 
4/17/2025
g
75,228
Bank
of
America
Corporation
200,000
3.004%, 
12/20/2023
b
208,009
328,000
3.550%, 
3/5/2024
b
346,064
244,000
4.200%, 
8/26/2024
269,121
240,000
6.100%, 
9/5/2024
b,i
266,400
800,000
6.250%, 
3/5/2025
b,i
885,440
113,000
3.458%, 
3/15/2025
b
121,336
279,000
1.319%, 
6/19/2026
b
278,149
223,000
1.197%, 
10/24/2026
b
220,109
480,000
5.875%, 
3/15/2028
b,i
523,522
294,000
3.593%, 
7/21/2028
b
319,078
392,000
3.974%, 
2/7/2030
b
435,075
Bank
of
Montreal
247,000
3.300%, 
2/5/2024
264,940
Bank
of
New
York
Mellon
Corporation
120,000
4.700%, 
9/20/2025
b,i
130,014
150,000
3.400%, 
1/29/2028
164,042
Bank
of
Nova
Scotia
360,000
4.900%, 
6/4/2025
b,i
382,727
98,000
1.050%, 
3/2/2026
96,442
Barclays
plc
283,000
4.338%, 
5/16/2024
b
303,031
195,000
8.000%, 
6/15/2024
b,i
216,450
111,000
4.375%, 
9/11/2024
121,321
134,000
2.852%, 
5/7/2026
b
140,277
145,000
4.972%, 
5/16/2029
b
166,727
BB&T
Corporation
105,000
2.500%, 
8/1/2024
110,548
BNP
Paribas
SA
141,000
2.819%, 
11/19/2025
b,g
148,425
Boston
Properties,
LP
98,000
2.550%, 
4/1/2032
93,950
BPCE
SA
110,000
3.000%, 
5/22/2022
g
113,161
114,000
2.375%, 
1/14/2025
g
117,777
Brixmor
Operating
Partnership,
LP
98,000
2.250%, 
4/1/2028
96,159
Burford
Capital
Global
Finance,
LLC
160,000
6.250%, 
4/15/2028
e,g
164,000
Canadian
Imperial
Bank
of
Commerce
114,000
2.250%, 
1/28/2025
118,220
CANPACK
SA
390,000
3.125%, 
11/1/2025
g
395,850
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Financials
(6.5%)
-
continued
Capital
One
Bank
USA
NA
$
165,000
3.375%, 
2/15/2023
$
173,314
171,000
2.280%, 
1/28/2026
b
175,522
Cascades
USA,
Inc.
280,000
5.125%, 
1/15/2026
g
297,150
Central
Fidelity
Capital
Trust
I
445,000
1.241%, 
(LIBOR
3M
+
1.000%),
4/15/2027
b
425,213
Charles
Schwab
Corporation
440,000
5.375%, 
6/1/2025
b,i
486,055
440,000
4.000%, 
6/1/2026
b,i
446,512
147,000
2.000%, 
3/20/2028
147,653
Chobani,
LLC
400,000
4.625%, 
11/15/2028
g
408,000
CIT
Group,
Inc.
195,000
5.250%, 
3/7/2025
219,619
Citigroup,
Inc.
108,000
2.750%, 
4/25/2022
110,564
480,000
5.950%, 
1/30/2023
b,i
503,583
496,000
5.000%, 
9/12/2024
b,i
511,029
336,000
3.352%, 
4/24/2025
b
359,590
91,000
5.950%, 
5/15/2025
b,i
98,052
274,000
5.500%, 
9/13/2025
317,586
230,000
4.000%, 
12/10/2025
b,i
232,242
575,000
3.875%, 
2/18/2026
b,i
572,315
338,000
1.122%, 
1/28/2027
b
330,622
391,000
4.075%, 
4/23/2029
b
434,988
CNA
Financial
Corporation
126,000
3.950%, 
5/15/2024
136,876
Comerica,
Inc.
120,000
5.625%, 
7/1/2025
b,i
132,150
Commonwealth
Bank
of
Australia
117,000
2.688%, 
3/11/2031
g
113,608
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
216,000
3.950%, 
11/9/2022
227,429
Cooperatieve
Rabobank
UA
111,000
1.339%, 
6/24/2026
b,g
110,070
Corporate
Office
Properties,
LP
111,000
2.250%, 
3/15/2026
112,795
Credit
Acceptance
Corporation
310,000
5.125%, 
12/31/2024
g
316,200
Credit
Agricole
SA
196,000
8.125%, 
12/23/2025
b,g,i
236,180
98,000
3.250%, 
1/14/2030
g
100,745
Credit
Suisse
Group
AG
160,000
6.500%, 
8/8/2023
g
175,960
110,000
7.500%, 
12/11/2023
b,g,i
119,056
117,000
2.593%, 
9/11/2025
b,g
121,326
115,000
2.193%, 
6/5/2026
b,g
116,870
96,000
3.869%, 
1/12/2029
b,g
102,938
Dai-ichi
Life
Insurance
Company,
Ltd.
693,000
5.100%, 
10/28/2024
b,g,i,k
766,631
Danske
Bank
AS
177,000
5.000%, 
1/12/2023
b,g
182,626
Deutsche
Bank
AG
200,000
6.000%, 
10/30/2025
b,i
202,500
332,000
2.129%, 
11/24/2026
b
332,835
Digital
Realty
Trust,
LP
147,000
3.700%, 
8/15/2027
162,052
Discover
Bank
196,000
4.682%, 
8/9/2028
b
209,054
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
62
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Financials
(6.5%)
-
continued
Drawbridge
Special
Opportunities
Fund,
LP
$
410,000
3.875%, 
2/15/2026
g
$
420,560
Duke
Realty,
LP
147,000
4.000%, 
9/15/2028
163,057
ESH
Hospitality,
Inc.
280,000
5.250%, 
5/1/2025
g
285,600
150,000
4.625%, 
10/1/2027
g
158,646
Fidelity
National
Financial,
Inc.
180,000
5.500%, 
9/1/2022
192,191
Fifth
Third
Bancorp
240,000
4.500%, 
9/30/2025
b,i
254,880
Fifth
Third
Bank
NA
97,000
3.850%, 
3/15/2026
106,780
First
Horizon
National
Corporation
134,000
3.550%, 
5/26/2023
141,649
FNB
Corporation
229,000
2.200%, 
2/24/2023
233,469
Fortress
Transportation
200,000
6.500%, 
10/1/2025
g
209,000
FTI
Consulting,
Inc.,
Convertible
322,000
2.000%, 
8/15/2023
469,476
GE
Capital
Funding,
LLC
200,000
3.450%, 
5/15/2025
g
216,236
49,000
4.050%, 
5/15/2027
g
54,599
98,000
4.400%, 
5/15/2030
g
110,951
Global
Net
Lease,
Inc.
280,000
3.750%, 
12/15/2027
g
272,923
Goldman
Sachs
Group,
Inc.
222,000
0.627%, 
11/17/2023
b
222,040
623,000
5.500%, 
8/10/2024
b,i
672,840
111,000
3.500%, 
4/1/2025
120,259
176,000
3.272%, 
9/29/2025
b
188,860
167,000
4.250%, 
10/21/2025
186,406
166,000
0.855%, 
2/12/2026
b
163,162
196,000
3.814%, 
4/23/2029
b
214,742
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Convertible
260,000
4.125%, 
9/1/2022
535,938
Hartford
Financial
Services
Group,
Inc.
98,000
2.800%, 
8/19/2029
101,660
Healthpeak
Properties,
Inc.
97,000
4.000%, 
6/1/2025
107,219
HSBC
Holdings
plc
216,000
6.875%, 
6/1/2021
b,i
217,879
109,000
3.803%, 
3/11/2025
b
117,704
110,000
6.375%, 
3/30/2025
b,i
121,220
141,000
2.633%, 
11/7/2025
b
147,360
133,000
1.589%, 
5/24/2027
b
130,888
248,000
6.500%, 
3/23/2028
b,i
278,070
273,000
4.583%, 
6/19/2029
b
306,797
360,000
4.600%, 
12/17/2030
b,i
355,950
Huntington
Bancshares,
Inc.
360,000
4.450%, 
10/15/2027
b,i
374,832
Icahn
Enterprises,
LP
430,000
6.375%, 
12/15/2025
443,975
200,000
6.250%, 
5/15/2026
209,500
ING
Groep
NV
200,000
1.726%, 
4/1/2027
b,e
200,116
Intercontinental
Exchange,
Inc.
111,000
0.700%, 
6/15/2023
111,298
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Financials
(6.5%)
-
continued
Iron
Mountain,
Inc.
$
855,000
4.875%, 
9/15/2027
g
$
874,772
iStar,
Inc.
300,000
4.250%, 
8/1/2025
302,070
iStar,
Inc.,
Convertible
159,000
3.125%, 
9/15/2022
209,482
J.P.
Morgan
Chase
&
Company
238,000
5.150%, 
5/1/2023
b,i
246,187
240,000
6.000%, 
8/1/2023
b,i
251,576
240,000
6.750%, 
2/1/2024
b,i
262,800
97,000
1.514%, 
6/1/2024
b
99,013
382,000
5.000%, 
8/1/2024
b,i
394,892
245,000
3.875%, 
9/10/2024
268,594
476,000
4.023%, 
12/5/2024
b
516,423
726,000
4.600%, 
2/1/2025
b,i
734,168
111,000
2.083%, 
4/22/2026
b
114,004
277,000
1.045%, 
11/19/2026
b
270,548
294,000
4.005%, 
4/23/2029
b
327,863
392,000
4.493%, 
3/24/2031
b
451,652
KeyBank
NA
147,000
3.900%, 
4/13/2029
160,632
Kilroy
Realty,
LP
125,000
4.375%, 
10/1/2025
137,424
Lincoln
National
Corporation
98,000
3.800%, 
3/1/2028
108,302
235,000
2.549%, 
(LIBOR
3M
+
2.358%),
5/17/2066
b
201,484
Lloyds
Banking
Group
plc
225,000
3.900%, 
3/12/2024
244,235
100,000
7.500%, 
6/27/2024
b,i
111,500
195,000
1.627%, 
5/11/2027
b
193,582
590,000
6.657%, 
5/21/2037
b,g,i
761,100
LPL
Holdings,
Inc.
240,000
4.000%, 
3/15/2029
g
241,800
Mastercard,
Inc.
98,000
1.900%, 
3/15/2031
96,327
MetLife,
Inc.
240,000
3.850%, 
9/15/2025
b,i
247,800
480,000
5.875%, 
3/15/2028
b,i
531,600
MGIC
Investment
Corporation,
Convertible
393,000
9.000%, 
4/1/2063
g
527,603
MGM
Growth
Properties
Operating
Partnership,
LP
420,000
4.625%, 
6/15/2025
g
442,974
Mid-America
Apartments,
LP
196,000
4.200%, 
6/15/2028
219,176
Mitsubishi
UFJ
Financial
Group,
Inc.
163,000
2.623%, 
7/18/2022
167,500
113,000
3.407%, 
3/7/2024
121,331
134,000
1.412%, 
7/17/2025
133,908
147,000
3.741%, 
3/7/2029
159,625
Mizuho
Financial
Group,
Inc.
163,000
2.721%, 
7/16/2023
b
167,439
147,000
3.153%, 
7/16/2030
b
153,685
Morgan
Stanley
64,000
4.875%, 
11/1/2022
68,234
234,000
4.100%, 
5/22/2023
250,223
111,000
0.560%, 
11/10/2023
b
111,036
114,000
2.720%, 
7/22/2025
b
120,261
78,000
5.000%, 
11/24/2025
89,644
226,000
2.188%, 
4/28/2026
b
233,510
111,000
0.985%, 
12/10/2026
b
108,346
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
63
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Financials
(6.5%)
-
continued
$
294,000
3.622%, 
4/1/2031
b
$
319,209
MPT
Operating
Partnership,
LP
270,000
5.250%, 
8/1/2026
278,775
60,000
4.625%, 
8/1/2029
63,122
National
Retail
Properties,
Inc.
98,000
2.500%, 
4/15/2030
96,096
Natwest
Group
plc
110,000
6.125%, 
12/15/2022
119,298
26,000
6.100%, 
6/10/2023
28,773
98,000
4.892%, 
5/18/2029
b
111,646
NFP
Corporation
120,000
6.875%, 
8/15/2028
g
124,500
Nippon
Life
Insurance
Company
480,000
5.100%, 
10/16/2044
b,g
530,400
363,000
3.400%, 
1/23/2050
b,g
369,353
Omega
Healthcare
Investors,
Inc.
110,000
5.250%, 
1/15/2026
124,349
95,000
4.750%, 
1/15/2028
104,344
Owl
Rock
Technology
Finance
Corporation
147,000
3.750%, 
6/17/2026
g
150,330
Park
Aerospace
Holdings,
Ltd.
57,000
4.500%, 
3/15/2023
g
59,530
PayPal
Holdings,
Inc.
144,000
1.650%, 
6/1/2025
146,650
97,000
2.850%, 
10/1/2029
101,058
Pebblebrook
Hotel
Trust,
Convertible
382,000
1.750%, 
12/15/2026
446,940
PennyMac
Financial
Services,
Inc.
250,000
4.250%, 
2/15/2029
g
239,063
Pine
Street
Trust
I
98,000
4.572%, 
2/15/2029
g
110,117
Playtika
Holding
Corporation
90,000
4.250%, 
3/15/2029
g
88,668
PNC
Bank
NA
98,000
2.700%, 
10/22/2029
100,164
Provident
Financing
Trust
I
112,000
7.405%, 
3/15/2038
129,058
Prudential
Financial,
Inc.
245,000
5.625%, 
6/15/2043
b
262,552
589,000
5.200%, 
3/15/2044
b
627,188
120,000
3.700%, 
10/1/2050
b
121,344
Quicken
Loans,
LLC
240,000
3.625%, 
3/1/2029
g
231,000
Regions
Financial
Corporation
112,000
3.800%, 
8/14/2023
120,131
240,000
5.750%, 
6/15/2025
b,i
264,300
Reinsurance
Group
of
America,
Inc.
162,000
4.700%, 
9/15/2023
177,453
Royal
Bank
of
Scotland
Group
plc
240,000
8.625%, 
8/15/2021
b,i
245,700
135,000
4.269%, 
3/22/2025
b
147,267
94,000
3.754%, 
11/1/2029
b
99,906
Santander
Holdings
USA,
Inc.
196,000
3.450%, 
6/2/2025
210,044
Santander
UK
Group
Holdings
plc
147,000
3.823%, 
11/3/2028
b
160,498
Service
Properties
Trust
250,000
4.500%, 
6/15/2023
253,965
130,000
4.750%, 
10/1/2026
126,750
200,000
5.500%, 
12/15/2027
211,547
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Financials
(6.5%)
-
continued
Simon
Property
Group,
LP
$
155,000
2.000%, 
9/13/2024
$
160,420
98,000
2.650%, 
7/15/2030
98,232
Societe
Generale
SA
141,000
2.625%, 
10/16/2024
g
147,117
240,000
8.000%, 
9/29/2025
b,g,i
281,472
133,000
1.488%, 
12/14/2026
b,g
130,688
Springleaf
Finance
Corporation
770,000
6.875%, 
3/15/2025
875,817
Standard
Chartered
plc
167,000
1.319%, 
10/14/2023
b,g
168,060
133,000
0.991%, 
1/12/2025
b,g
132,248
Starwood
Property
Trust,
Inc.,
Convertible
134,000
4.375%, 
4/1/2023
139,615
State
Street
Corporation
118,000
2.354%, 
11/1/2025
b
124,115
Sumitomo
Mitsui
Financial
Group,
Inc.
108,000
2.784%, 
7/12/2022
111,193
141,000
2.448%, 
9/27/2024
147,719
147,000
3.544%, 
1/17/2028
159,044
147,000
2.142%, 
9/23/2030
137,804
Sumitomo
Mitsui
Trust
Bank,
Ltd.
111,000
1.050%, 
9/12/2025
g
109,191
Summit
Hotel
Properties,
Inc.,
Convertible
176,000
1.500%, 
2/15/2026
193,930
Synchrony
Financial
115,000
4.250%, 
8/15/2024
125,098
195,000
3.700%, 
8/4/2026
209,828
Truist
Bank
99,000
2.250%, 
3/11/2030
96,599
Truist
Financial
Corporation
540,000
4.950%, 
9/1/2025
b,i
585,225
UBS
Group
AG
92,000
1.364%, 
1/30/2027
b,g
90,661
USB
Realty
Corporation
496,000
1.388%, 
(LIBOR
3M
+
1.147%),
1/15/2022
b,g,i
384,400
Ventas
Realty,
LP
110,000
3.750%, 
5/1/2024
118,688
VEREIT
Operating
Partnership,
LP
147,000
3.950%, 
8/15/2027
161,308
VICI
Properties,
LP
180,000
4.250%, 
12/1/2026
g
184,155
110,000
3.750%, 
2/15/2027
g
110,000
180,000
4.625%, 
12/1/2029
g
186,725
Wachovia
Capital
Trust
II
220,000
0.741%, 
(LIBOR
3M
+
0.500%),
1/15/2027
b
210,869
Wells
Fargo
&
Company
220,000
4.125%, 
8/15/2023
238,002
100,000
1.654%, 
6/2/2024
b
102,154
233,000
2.406%, 
10/30/2025
b
243,376
335,000
3.900%, 
3/15/2026
b,i
338,317
169,000
2.188%, 
4/30/2026
b
174,422
196,000
4.478%, 
4/4/2031
b
225,707
Welltower,
Inc.
98,000
2.800%, 
6/1/2031
97,405
Westpac
Banking
Corporation
147,000
4.110%, 
7/24/2034
b
156,968
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
64
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Financials
(6.5%)
-
continued
Willis
North
America,
Inc.
$
196,000
4.500%, 
9/15/2028
$
222,893
Total
55,464,033
Foreign
Government
(<0.1%)
Sinopec
Group
Overseas
Development
2018,
Ltd.
133,000
2.150%, 
5/13/2025
g
135,035
Total
135,035
Mortgage-Backed
Securities
(18.8%)
Federal
Home
Loan
Mortgage
Corporation
2,274,467
3.500%, 
8/15/2035,
Ser.
345,
Class
C8
j
261,462
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
3,384,889
3.000%, 
3/25/2050
3,532,729
2,025,299
3.000%, 
4/1/2050
2,115,094
863,349
3.500%, 
7/1/2047
916,531
Federal
National
Mortgage
Association
764,393
4.500%, 
5/1/2048
834,340
1,337,035
3.500%, 
10/1/2048
1,412,216
540,273
3.500%, 
6/1/2049
571,860
1,521,530
3.500%, 
8/1/2049
1,610,190
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
12,850,000
1.500%, 
4/1/2036
e
12,908,014
28,650,000
2.000%, 
4/1/2036
e
29,402,707
21,000,000
2.500%, 
4/1/2036
e
21,849,023
500,000
1.500%, 
5/1/2036
e
501,471
14,350,000
2.000%, 
5/1/2036
e
14,708,925
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
9,125,000
2.000%, 
4/1/2051
e
9,107,891
25,538,000
2.500%, 
4/1/2051
e
26,206,377
14,675,000
2.000%, 
5/1/2051
e
14,620,542
16,627,000
2.500%, 
5/1/2051
e
17,026,438
1,719,493
4.000%, 
7/1/2048
1,845,568
Total
159,431,378
Technology
(1.8%)
Akamai
Technologies,
Inc.,
Convertible
625,000
0.375%, 
9/1/2027
677,734
Apple,
Inc.
259,000
3.450%, 
5/6/2024
281,424
111,000
0.700%, 
2/8/2026
108,869
294,000
2.200%, 
9/11/2029
297,901
Baidu,
Inc.
137,000
3.075%, 
4/7/2025
144,188
Banff
Merger
Sub,
Inc.
140,000
9.750%, 
9/1/2026
g
149,100
Broadcom
Corporation
196,000
3.125%, 
1/15/2025
208,547
147,000
3.875%, 
1/15/2027
159,628
Broadcom,
Inc.
195,000
5.000%, 
4/15/2030
222,245
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Technology
(1.8%)
-
continued
CommScope
Technologies
Finance,
LLC
$
438,000
6.000%, 
6/15/2025
g
$
446,782
CommScope,
Inc.
210,000
7.125%, 
7/1/2028
g
223,037
Dell
International,
LLC
147,000
5.850%, 
7/15/2025
g
171,372
147,000
5.300%, 
10/1/2029
g
171,955
Diamond
1
Finance
Corporation
210,000
5.450%, 
6/15/2023
g
229,500
Diamond
Sports
Group,
LLC
530,000
6.625%, 
8/15/2027
g
275,600
Fiserv,
Inc.
156,000
2.750%, 
7/1/2024
164,848
196,000
4.200%, 
10/1/2028
220,859
Gartner,
Inc.
100,000
4.500%, 
7/1/2028
g
103,125
315,000
3.750%, 
10/1/2030
g
312,395
Global
Payments,
Inc.
52,000
2.650%, 
2/15/2025
54,635
98,000
3.200%, 
8/15/2029
103,215
Hewlett
Packard
Enterprise
Company
106,000
2.250%, 
4/1/2023
109,183
92,000
4.450%, 
10/2/2023
99,965
Intuit,
Inc.
111,000
0.950%, 
7/15/2025
110,138
J2
Global,
Inc.,
Convertible
309,000
1.750%, 
11/1/2026
g
362,109
283,000
3.250%, 
6/15/2029
500,379
Lumentum
Holdings,
Inc.,
Convertible
308,000
0.250%, 
3/15/2024
493,402
Marvell
Technology
Group,
Ltd.
112,000
4.200%, 
6/22/2023
119,838
Microchip
Technology,
Inc.,
Convertible
152,000
1.625%, 
2/15/2027
345,800
Micron
Technology,
Inc.
98,000
4.975%, 
2/6/2026
112,141
NCR
Corporation
550,000
6.125%, 
9/1/2029
g
582,313
NortonLifeLock,
Inc.,
Convertible
62,000
2.000%, 
8/15/2022
g
72,199
Nuance
Communications,
Inc.,
Convertible
468,000
1.250%, 
4/1/2025
1,063,249
NVIDIA
Corporation
49,000
2.850%, 
4/1/2030
51,460
NXP
Funding,
LLC
92,000
4.875%, 
3/1/2024
g
102,254
56,000
2.700%, 
5/1/2025
g
58,731
98,000
4.300%, 
6/18/2029
g
109,606
ON
Semiconductor
Corporation,
Convertible
630,000
1.625%, 
10/15/2023
1,306,069
Open
Text
Corporation
270,000
4.125%, 
2/15/2030
g
273,696
Oracle
Corporation
60,000
2.500%, 
5/15/2022
61,171
245,000
2.500%, 
4/1/2025
257,426
98,000
2.950%, 
4/1/2030
101,052
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
65
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Technology
(1.8%)
-
continued
Panasonic
Corporation
$
163,000
2.536%, 
7/19/2022
g
$
166,816
PTC,
Inc.
160,000
3.625%, 
2/15/2025
g
164,200
Qorvo,
Inc.
250,000
3.375%, 
4/1/2031
g
244,973
Rackspace
Technology
Global,
Inc.
250,000
5.375%, 
12/1/2028
g,k
254,206
Seagate
HDD
Cayman
116,000
4.250%, 
3/1/2022
k
119,190
380,000
3.375%, 
7/15/2031
g
365,351
Sensata
Technologies,
Inc.
530,000
3.750%, 
2/15/2031
g
522,548
Shift4
Payments,
LLC
100,000
4.625%, 
11/1/2026
g
103,750
SS&C
Technologies,
Inc.
620,000
5.500%, 
9/30/2027
g
660,331
Switch,
Ltd.
310,000
3.750%, 
9/15/2028
g
305,263
Tencent
Holdings,
Ltd.
134,000
1.810%, 
1/26/2026
g
134,415
Teradyne,
Inc.,
Convertible
148,000
1.250%, 
12/15/2023
569,245
Texas
Instruments,
Inc.
167,000
1.375%, 
3/12/2025
169,914
Verint
Systems,
Inc.,
Convertible
282,000
1.500%, 
6/1/2021
317,616
Vishay
Intertechnology,
Inc.,
Convertible
286,000
2.250%, 
6/15/2025
311,025
Total
15,427,983
Transportation
(0.7%)
AerCap
Holdings
NV
220,000
5.875%, 
10/10/2079
b
226,315
Air
Lease
Corporation
114,000
2.300%, 
2/1/2025
116,440
98,000
3.125%, 
12/1/2030
97,709
Air
Transport
Services
Group,
Inc.,
Convertible
150,000
1.125%, 
10/15/2024
167,625
American
Airlines,
Inc.
260,000
11.750%, 
7/15/2025
g
321,617
430,000
5.500%, 
4/20/2026
g
447,497
70,000
5.750%, 
4/20/2029
g
74,456
Avis
Budget
Car
Rental,
LLC
250,000
5.375%, 
3/1/2029
g
258,606
Boeing
Company
10,000
1.950%, 
2/1/2024
10,246
CSX
Corporation
98,000
4.250%, 
3/15/2029
111,301
Delta
Air
Lines,
Inc.
285,000
7.000%, 
5/1/2025
g
328,308
222,697
4.500%, 
10/20/2025
g
237,706
Hawaiian
Brand
Intellectual
Property,
Ltd.
320,000
5.750%, 
1/20/2026
g
340,032
J.B.
Hunt
Transport
Services,
Inc.
70,000
3.300%, 
8/15/2022
72,245
Meritor,
Inc.,
Convertible
609,000
3.250%, 
10/15/2037
713,672
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Transportation
(0.7%)
-
continued
Mileage
Plus
Holdings,
LLC
$
300,000
6.500%, 
6/20/2027
g
$
328,875
Penske
Truck
Leasing
Company,
LP
113,000
3.375%, 
2/1/2022
g
115,086
111,000
1.200%, 
11/15/2025
g
109,033
Southwest
Airlines
Company
56,000
4.750%, 
5/4/2023
60,463
100,000
5.125%, 
6/15/2027
114,967
Southwest
Airlines
Company,
Convertible
463,000
1.250%, 
5/1/2025
794,913
Union
Pacific
Corporation
124,000
3.750%, 
7/15/2025
136,205
98,000
2.150%, 
2/5/2027
100,657
United
Airlines
Pass
Through
Trust
70,000
3.700%, 
12/1/2022
70,963
XPO
Logistics,
Inc.
300,000
6.125%, 
9/1/2023
g
305,244
129,000
6.750%, 
8/15/2024
g
135,289
Total
5,795,470
U.S.
Government
&
Agencies
(2.4%)
U.S.
Treasury
Bonds
775,000
1.125%, 
2/15/2031
732,254
U.S.
Treasury
Notes
1,780,000
0.375%, 
3/31/2022
1,785,284
2,490,000
0.125%, 
2/28/2023
2,488,444
2,070,000
0.125%, 
2/15/2024
2,058,841
9,250,000
0.500%, 
3/31/2025
9,191,103
1,680,000
0.500%, 
2/28/2026
1,647,188
1,010,000
0.500%, 
4/30/2027
967,312
1,360,000
1.125%, 
2/29/2028
1,336,200
Total
20,206,626
Utilities
(1.0%)
Ameren
Corporation
98,000
1.750%, 
3/15/2028
94,724
Berkshire
Hathaway
Energy
Company
136,000
4.050%, 
4/15/2025
150,061
Calpine
Corporation
450,000
4.500%, 
2/15/2028
g
453,780
CenterPoint
Energy
Houston
Electric,
LLC
98,000
2.350%, 
4/1/2031
98,028
CenterPoint
Energy,
Inc.
110,000
2.500%, 
9/1/2022
112,963
105,000
2.500%, 
9/1/2024
110,094
Dominion
Energy,
Inc.
110,000
3.071%, 
8/15/2024
117,147
375,000
4.650%, 
12/15/2024
b,i
394,800
98,000
3.375%, 
4/1/2030
104,343
DTE
Energy
Company
98,000
3.800%, 
3/15/2027
107,933
Duke
Energy
Corporation
110,000
4.875%, 
9/16/2024
b,i
116,215
195,000
3.150%, 
8/15/2027
207,725
Edison
International
118,000
4.950%, 
4/15/2025
131,713
Entergy
Corporation
111,000
0.900%, 
9/15/2025
108,393
97,000
1.900%, 
6/15/2028
94,736
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
66
Principal
Amount
Long-Term
Fixed
Income
(54.4%)
Value
Utilities
(1.0%)
-
continued
Evergy,
Inc.
$
106,000
2.450%, 
9/15/2024
$
110,981
Exelon
Corporation
98,000
4.050%, 
4/15/2030
109,199
FirstEnergy
Corporation
163,000
2.850%, 
7/15/2022
165,445
Florida
Power
&
Light
Company
111,000
2.850%, 
4/1/2025
118,473
Georgia
Power
Company
72,000
2.100%, 
7/30/2023
74,317
NextEra
Energy
Operating
Partners,
LP
420,000
3.875%, 
10/15/2026
g
440,475
NextEra
Energy
Partners,
LP,
Convertible
310,000
Zero
Coupon, 
11/15/2025
g
332,281
NiSource,
Inc.
220,000
5.650%, 
6/15/2023
b,i
227,150
98,000
2.950%, 
9/1/2029
100,874
NRG
Energy,
Inc.
111,000
2.000%, 
12/2/2025
g
110,981
440,000
3.375%, 
2/15/2029
g
429,550
Pacific
Gas
and
Electric
Company
147,000
3.750%, 
2/15/2024
156,329
147,000
2.100%, 
8/1/2027
143,924
PG&E
Corporation
200,000
5.000%, 
7/1/2028
211,295
180,000
5.250%, 
7/1/2030
190,800
PPL
Capital
Funding,
Inc.
94,000
3.950%, 
3/15/2024
101,496
97,000
4.125%, 
4/15/2030
109,022
Public
Service
Enterprise
Group,
Inc.
98,000
1.600%, 
8/15/2030
90,254
Sempra
Energy
240,000
4.875%, 
10/15/2025
b,i
256,800
147,000
3.400%, 
2/1/2028
157,648
Southern
Company
351,000
4.000%, 
1/15/2051
b
370,393
Suburban
Propane
Partners,
LP
380,000
5.875%, 
3/1/2027
395,200
Talen
Energy
Supply,
LLC
295,000
7.625%, 
6/1/2028
g
298,688
TerraForm
Power
Operating,
LLC
395,000
5.000%, 
1/31/2028
g
426,225
TransCanada
Trust
468,000
5.875%, 
8/15/2076
b
510,120
Vistra
Operations
Company,
LLC
380,000
5.000%, 
7/31/2027
g
391,408
Xcel
Energy,
Inc.
98,000
4.000%, 
6/15/2028
108,825
Total
8,540,808
Total
Long-Term
Fixed
Income
(cost
$453,248,962)
461,180,128
Shares
Common
Stock
(
17.3%
)
Value
Communications
Services
(1.4%)
3,916
Activision
Blizzard,
Inc.
364,188
1,288
Alphabet,
Inc.,
Class
A
l
2,656,526
426
Alphabet,
Inc.,
Class
C
l
881,236
8,070
AT&T,
Inc.
244,279
1,746
Charter
Communications,
Inc.
l
1,077,317
Shares
Common
Stock
(17.3%)
Value
Communications
Services
(1.4%)
-
continued
15,040
Comcast
Corporation
$
813,814
3,253
Discovery,
Inc.,
Class
A
k,l
141,375
6,353
DISH
Network
Corporation
l
229,979
5,509
Facebook,
Inc.
l
1,622,566
573
Gray
Television,
Inc.
10,543
4,351
Live
Nation
Entertainment,
Inc.
l
368,312
5,101
Lumen
Technologies,
Inc.
68,098
1,391
Match
Group,
Inc.
l
191,096
15,517
QuinStreet,
Inc.
l
314,995
19
Roku,
Inc.
l
6,190
762
Telephone
&
Data
Systems,
Inc.
17,496
17,338
Twitter,
Inc.
l
1,103,217
11,680
Uber
Technologies,
Inc.
l
636,677
124
United
States
Cellular
Corporation
l
4,524
13,734
Verizon
Communications,
Inc.
798,632
2,297
Walt
Disney
Company
l
423,842
4,674
Windstream
Services,
LLC,
Warrants
(Expires
12/31/2049)
l
59,981
2,111
Zillow
Group,
Inc.
l
277,343
Total
12,312,226
Consumer
Discretionary
(2.3%)
1,395
Amazon.com,
Inc.
l
4,316,242
7,505
Aptiv
plc
l
1,034,939
220
AutoZone,
Inc.
l
308,946
884
Big
Lots,
Inc.
60,377
8,704
Bloomin'
Brands,
Inc.
l
235,443
450
Booking
Holdings,
Inc.
l
1,048,428
397
Burlington
Stores,
Inc.
l
118,624
2,989
Caesars
Entertainment,
Inc.
l
261,388
10,601
Callaway
Golf
Company
283,577
810
Carvana
Company
l
212,544
5,198
Cedar
Fair,
LP
l
258,237
870
Chewy,
Inc.
l
73,698
345
Chipotle
Mexican
Grill,
Inc.
l
490,183
7,874
Cooper-Standard
Holdings,
Inc.
l
285,984
2,836
Crocs,
Inc.
l
228,156
3,057
D.R.
Horton,
Inc.
272,440
743
Dick's
Sporting
Goods,
Inc.
56,579
1,072
Domino's
Pizza,
Inc.
394,271
38
Dorman
Products,
Inc.
l
3,900
748
Emerald
Holding,
Inc.
l
4,129
1,718
Expedia
Group,
Inc.
l
295,702
300
Garmin,
Ltd.
39,555
18
Graham
Holdings
Company
10,124
6,931
Harley-Davidson,
Inc.
277,933
2,152
Home
Depot,
Inc.
656,898
1,939
Kohl's
Corporation
115,584
6,992
Leggett
&
Platt,
Inc.
319,185
8,228
Libbey,
Inc.
l
12,136
4,282
Lowe's
Companies,
Inc.
814,351
1,361
Lululemon
Athletica,
Inc.
l
417,432
6,793
Macy's,
Inc.
l
109,979
4,031
Mattel,
Inc.
l
80,298
1,396
McDonald's
Corporation
312,899
115
Mercadolibre,
Inc.
l
169,296
4,794
Miller
Industries,
Inc.
221,435
853
Mohawk
Industries,
Inc.
l
164,040
2,451
NIKE,
Inc.
325,713
2,828
Nordstrom,
Inc.
l
107,096
145
NVR,
Inc.
l
683,085
1,291
Overstock.com,
Inc.
l
85,542
2,075
Qurate
Retail,
Inc.
24,402
62
Revolve
Group,
Inc.
l
2,786
430
RH
l
256,538
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
67
Shares
Common
Stock
(17.3%)
Value
Consumer
Discretionary
(2.3%)
-
continued
1,591
Ross
Stores,
Inc.
$
190,777
1,773
Sleep
Number
Corporation
l
254,408
4,023
Sony
Corporation
ADR
426,478
363
Stitch
Fix,
Inc.
l
17,983
6,724
Stoneridge,
Inc.
l
213,890
103
Strategic
Education,
Inc.
9,467
1,071
Taylor
Morrison
Home
Corporation
l
32,998
1,874
Tesla,
Inc.
l
1,251,701
2,447
Texas
Roadhouse,
Inc.
l
234,765
44,580
Under
Armour,
Inc.,
Class
C
l
822,947
1,255
Workhorse
Group,
Inc.
k,l
17,281
4,825
Zumiez,
Inc.
l
206,992
Total
19,129,781
Consumer
Staples
(0.6%)
847
Altria
Group,
Inc.
43,333
2,986
BJ's
Wholesale
Club
Holdings,
Inc.
l
133,952
8,348
Bunge,
Ltd.
661,746
2,481
Colgate-Palmolive
Company
195,577
1,171
Costco
Wholesale
Corporation
412,754
10,557
Hain
Celestial
Group,
Inc.
l
460,285
1,584
John
B.
Sanfilippo
&
Son,
Inc.
143,146
1,339
Kimberly-Clark
Corporation
186,188
4,474
Lamb
Weston
Holdings,
Inc.
346,646
3,250
Monster
Beverage
Corporation
l
296,042
249
PepsiCo,
Inc.
35,221
9,142
Philip
Morris
International,
Inc.
811,261
20,150
Primo
Water
Corporation
327,639
1,941
Procter
&
Gamble
Company
262,870
6,350
Turning
Point
Brands,
Inc.
331,280
6,009
Wal-Mart
Stores,
Inc.
816,202
Total
5,464,142
Energy
(0.6%)
5,499
Antero
Resources
Corporation
l
56,090
10,129
BP
plc
ADR
246,641
2,124
Cheniere
Energy,
Inc.
l
152,949
897
Chevron
Corporation
93,997
5,174
ConocoPhillips
274,067
316
CONSOL
Energy,
Inc.
l
3,072
694
Core
Laboratories
NV
19,980
32,377
Devon
Energy
Corporation
707,437
410
Dorian
LPG,
Ltd.
l
5,383
5,199
Enbridge,
Inc.
189,244
15,180
Enterprise
Products
Partners,
LP
334,264
2,416
EOG
Resources,
Inc.
175,232
16,357
EQT
Corporation
l
303,913
3,151
Exxon
Mobil
Corporation
175,920
6,687
Gevo,
Inc.
k,l
65,599
7,164
Halliburton
Company
153,739
2,052
Helix
Energy
Solutions
Group,
Inc.
l
10,363
11,131
Helmerich
&
Payne,
Inc.
300,092
18,503
Kinder
Morgan,
Inc.
308,075
5,042
Marathon
Petroleum
Corporation
269,697
86,887
McDermott
International,
Inc.
l
69,510
4,000
MPLX,
LP
102,520
7,500
Nine
Energy
Service,
Inc.
l
17,250
4,714
Occidental
Petroleum
Corporation
125,487
4,176
PDC
Energy,
Inc.
l
143,654
4,305
Pioneer
Natural
Resources
Company
683,720
5,115
SM
Energy
Company
83,733
2,200
TC
Energy
Corporation
100,650
2,909
Valero
Energy
Corporation
208,284
Shares
Common
Stock
(17.3%)
Value
Energy
(0.6%)
-
continued
5,200
Williams
Companies,
Inc.
$
123,188
Total
5,503,750
Financials
(2.7%)
7,143
Air
Lease
Corporation
350,007
1
Alleghany
Corporation
l
626
9,775
Ally
Financial,
Inc.
441,928
2,171
American
Equity
Investment
Life
Holding
Company
68,452
2,796
American
Express
Company
395,466
11,693
Annaly
Capital
Management,
Inc.
100,560
6,969
Arch
Capital
Group,
Ltd.
l
267,401
3,702
Ares
Capital
Corporation
69,264
1,676
Arthur
J.
Gallagher
&
Company
209,114
689
Associated
Banc-Corp
14,703
13,040
Assured
Guaranty,
Ltd.
551,331
33,062
Bank
of
America
Corporation
1,279,169
229
Bank
of
Marin
Bancorp
8,968
5,450
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
208,299
1,245
Berkshire
Hathaway,
Inc.
l
318,060
9,900
BlackRock
TCP
Capital
Corporation
136,917
511
BlackRock,
Inc.
385,274
6,058
Blackstone
Mortgage
Trust,
Inc.
187,798
12,145
Bridgewater
Bancshares,
Inc.
l
196,142
136
Brighthouse
Financial,
Inc.
l
6,018
476
Broadmark
Realty
Capital,
Inc.
4,979
4,856
Capital
One
Financial
Corporation
617,829
11,589
Charles
Schwab
Corporation
755,371
2,086
Chimera
Investment
Corporation
26,492
2,384
Chubb,
Ltd.
376,600
1,063
Cincinnati
Financial
Corporation
109,585
9,345
Citigroup,
Inc.
679,849
280
Citizens
Financial
Group,
Inc.
12,362
1,266
CME
Group,
Inc.
258,555
8,376
Columbia
Banking
System,
Inc.
360,922
3,200
Comerica,
Inc.
229,568
802
Community
Trust
Bancorp,
Inc.
35,312
135
Customers
Bancorp,
Inc.
l
4,296
2,987
Discover
Financial
Services
283,735
1,416
Ellington
Residential
Mortgage
REIT
17,431
321
Enova
International,
Inc.
l
11,389
22,975
Equitable
Holdings,
Inc.
749,444
2,484
Evercore,
Inc.
327,242
16,177
Everi
Holdings,
Inc.
l
228,257
1,996
F.N.B.
Corporation
25,349
239
FactSet
Research
Systems,
Inc.
73,753
276
Financial
Institutions,
Inc.
8,360
1,362
First
Busey
Corporation
34,935
177
First
Mid-Illinois
Bancshares,
Inc.
7,776
1,524
First
Republic
Bank
254,127
2,826
Flagstar
Bancorp,
Inc.
127,453
2,050
FS
KKR
Capital
Corporation
40,651
8,700
FS
KKR
Capital
Corporation
II
169,911
3,107
Glacier
Bancorp,
Inc.
177,348
544
Goldman
Sachs
Group,
Inc.
177,888
11,286
Golub
Capital
BDC,
Inc.
165,001
379
Granite
Point
Mortgage
Trust,
Inc.
4,537
915
Great
Southern
Bancorp,
Inc.
51,853
2,380
Hancock
Whitney
Corporation
99,984
8,745
Heartland
Financial
USA,
Inc.
439,524
662
Hometrust
Bancshares,
Inc.
16,120
5,337
Hope
Bancorp,
Inc.
80,375
322
Independent
Bank
Corporation
7,612
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
68
Shares
Common
Stock
(17.3%)
Value
Financials
(2.7%)
-
continued
8,103
J.P.
Morgan
Chase
&
Company
$
1,233,520
4,658
James
River
Group
Holdings,
Ltd.
212,498
1,502
Jefferies
Financial
Group,
Inc.
45,210
18,965
KeyCorp
378,921
1,855
Kinsale
Capital
Group,
Inc.
305,704
8,915
KKR
&
Company,
Inc.
435,498
166
KKR
Real
Estate
Finance
Trust,
Inc.
3,053
481
Lakeland
Bancorp,
Inc.
8,384
1,372
Lincoln
National
Corporation
85,434
40
Markel
Corporation
l
45,585
56
MarketAxess
Holdings,
Inc.
27,884
2,033
Marsh
&
McLennan
Companies,
Inc.
247,619
5,164
Meridian
Bancorp,
Inc.
95,121
2,948
MetLife,
Inc.
179,209
10,944
MFA
Financial,
Inc.
44,542
1,976
MidWestOne
Financial
Group,
Inc.
61,197
444
Moody's
Corporation
132,583
7,771
Morgan
Stanley
603,496
1,701
Navient
Corporation
24,341
6,565
New
York
Community
Bancorp,
Inc.
82,850
2,846
New
York
Mortgage
Trust,
Inc.
12,722
1,661
Old
Republic
International
Corporation
36,276
198
Peapack-Gladstone
Financial
Corporation
6,114
700
PennyMac
Mortgage
Investment
Trust
13,720
2,038
Primerica,
Inc.
301,257
160
QCR
Holdings,
Inc.
7,555
11,282
Radian
Group,
Inc.
262,306
3,145
Raymond
James
Financial,
Inc.
385,451
1,760
S&P
Global,
Inc.
621,051
7,305
Seacoast
Banking
Corporation
of
Florida
l
264,733
1,313
Selective
Insurance
Group,
Inc.
95,245
4,947
Sixth
Street
Specialty
Lending,
Inc.
104,035
4,986
Starwood
Property
Trust,
Inc.
123,354
5,395
Synovus
Financial
Corporation
246,821
370
T.
Rowe
Price
Group,
Inc.
63,492
1,411
Torchmark
Corporation
136,345
3,976
Triumph
Bancorp,
Inc.
l
307,703
6,284
Truist
Financial
Corporation
366,483
4,130
Umpqua
Holdings
Corporation
72,481
199
Universal
Insurance
Holdings,
Inc.
2,854
3,817
Unum
Group
106,227
26,802
Wells
Fargo
&
Company
1,047,154
10,738
Western
Alliance
Bancorp
1,014,097
952
Western
Asset
Mortgage
Capital
Corporation
3,037
12,080
Zions
Bancorporations
NA
663,917
832
Zurich
Insurance
Group
AG
354,142
Total
23,118,493
Health
Care
(2.1%)
1,812
Abbott
Laboratories
217,150
2,330
AbbVie,
Inc.
252,153
448
Align
Technology,
Inc.
l
242,605
1,118
Amedisys,
Inc.
l
296,035
2,870
Amgen,
Inc.
714,085
3,545
AMN
Healthcare
Services,
Inc.
l
261,266
2,825
Anthem,
Inc.
1,014,034
5,376
Ardelyx,
Inc.
l
35,589
Shares
Common
Stock
(17.3%)
Value
Health
Care
(2.1%)
-
continued
994
Becton,
Dickinson
and
Company
$
241,691
862
Biogen,
Inc.
l
241,144
1,852
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
l
126,584
2,233
Catalent,
Inc.
l
235,157
3,579
Centene
Corporation
l
228,734
3,869
Cerner
Corporation
278,104
1,968
Cigna
Holding
Company
475,744
3,503
CVS
Health
Corporation
263,531
3,754
Danaher
Corporation
844,950
759
Dexcom,
Inc.
l
272,777
6,318
Edwards
Lifesciences
Corporation
l
528,438
5,049
GlaxoSmithKline
plc
ADR
k
180,199
566
Haemonetics
Corporation
l
62,832
4,756
Halozyme
Therapeutics,
Inc.
l
198,278
1,896
HCA
Healthcare,
Inc.
357,093
793
Humana,
Inc.
332,465
1,219
Illumina,
Inc.
l
468,169
2,997
InMode,
Ltd.
l
216,893
524
Intuitive
Surgical,
Inc.
l
387,205
1,443
IQVIA
Holding,
Inc.
l
278,701
6,881
Johnson
&
Johnson
1,130,892
7,216
Lantheus
Holdings,
Inc.
l
154,206
924
LHC
Group,
Inc.
l
176,678
8,926
Medtronic
plc
1,054,428
8,966
Merck
&
Company,
Inc.
691,189
102
Mettler-Toledo
International,
Inc.
l
117,880
841
Moderna,
Inc.
l
110,129
677
Novavax,
Inc.
l
122,747
3,140
Novo
Nordisk
AS
ADR
211,699
4,251
NuVasive,
Inc.
l
278,696
1,248
Quidel
Corporation
l
159,657
374
Reata
Pharmaceuticals,
Inc.
l
37,288
2,445
Stryker
Corporation
595,553
7,641
Syneos
Health,
Inc.
l
579,570
4,279
Tactile
Systems
Technology,
Inc.
l
233,163
1,226
Teladoc
Health,
Inc.
l
222,826
170
Teleflex,
Inc.
70,628
2,035
Thermo
Fisher
Scientific,
Inc.
928,733
1,304
UnitedHealth
Group,
Inc.
485,179
9,033
Vaxart,
Inc.
k,l
54,650
1,305
Veeva
Systems,
Inc.
l
340,918
12,286
Viemed
Healthcare,
Inc.
l
124,334
848
Zimmer
Biomet
Holdings,
Inc.
135,748
3,553
Zoetis,
Inc.
559,526
Total
17,827,923
Industrials
(2.3%)
3,633
Advanced
Drainage
Systems,
Inc.
375,616
591
Allegion
plc
74,241
8,557
Altra
Industrial
Motion
Corporation
473,373
3,174
AMETEK,
Inc.
405,415
2,692
ASGN,
Inc.
l
256,924
743
Axon
Enterprise,
Inc.
l
105,818
9,890
Badger
Daylighting,
Ltd.
337,379
2,295
Blink
Charging
Company
k,l
94,324
568
Boeing
Company
l
144,681
1,914
Carlisle
Companies,
Inc.
315,006
3,642
Chart
Industries,
Inc.
l
518,439
28
Copart,
Inc.
l
3,041
2,454
Crane
Company
230,455
2,350
CSX
Corporation
226,587
20
Cummins,
Inc.
5,182
3,419
Curtiss-Wright
Corporation
405,493
8,111
Delta
Air
Lines,
Inc.
l
391,599
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
69
Shares
Common
Stock
(17.3%)
Value
Industrials
(2.3%)
-
continued
1,694
Eaton
Corporation
plc
$
234,246
2,493
Emerson
Electric
Company
224,918
1,482
Encore
Wire
Corporation
99,487
1,709
Fortive
Corporation
120,724
3,211
Forward
Air
Corporation
285,169
6,169
FuelCell
Energy,
Inc.
l
88,895
358
GATX
Corporation
33,201
3,502
General
Dynamics
Corporation
635,823
215
Gorman-Rupp
Company
7,119
8,059
Greenbrier
Companies,
Inc.
380,546
2,087
Heico
Corporation
262,545
3,880
Helios
Technologies,
Inc.
282,736
3,575
Honeywell
International,
Inc.
776,025
10,224
Howmet
Aerospace,
Inc.
l
328,497
1,174
IDEX
Corporation
245,742
195
Illinois
Tool
Works,
Inc.
43,196
9,679
Johnson
Controls
International
plc
577,546
1,365
Kansas
City
Southern
360,251
1,927
L3Harris
Technologies,
Inc.
390,564
130
Landstar
System,
Inc.
21,458
2,274
Lincoln
Electric
Holdings,
Inc.
279,566
1,430
Lockheed
Martin
Corporation
528,385
3,786
Manpower,
Inc.
374,435
16,379
Meritor,
Inc.
l
481,870
1,509
Middleby
Corporation
l
250,117
575
MSC
Industrial
Direct
Company,
Inc.
51,859
6,346
NAPCO
Security
Technologies,
Inc.
l
221,031
89
Nordson
Corporation
17,683
1,250
Norfolk
Southern
Corporation
335,650
872
Northrop
Grumman
Corporation
282,214
5,474
Nutrien,
Ltd.
294,994
1,611
Old
Dominion
Freight
Line,
Inc.
387,301
2,086
Otis
Worldwide
Corporation
142,787
1,600
Parker-Hannifin
Corporation
504,688
7,908
Patrick
Industries,
Inc.
672,180
8,905
Raven
Industries,
Inc.
341,329
3,857
Raytheon
Technologies
Corporation
298,030
1,813
Regal-Beloit
Corporation
258,679
2,353
Ritchie
Brothers
Auctioneers,
Inc.
137,768
8,692
Southwest
Airlines
Company
l
530,734
2,569
Spirit
Airlines,
Inc.
l
94,796
1,645
Stanley
Black
&
Decker,
Inc.
328,457
4,827
Timken
Company
391,808
4,202
Tutor
Perini
Corporation
l
79,628
1,442
Union
Pacific
Corporation
317,831
2,190
United
Parcel
Service,
Inc.
372,278
3,114
United
Rentals,
Inc.
l
1,025,471
762
Verisk
Analytics,
Inc.
134,638
3,726
WESCO
International,
Inc.
l
322,411
200
Woodward,
Inc.
24,126
Total
19,245,005
Information
Technology
(3.8%)
1,378
Accenture
plc
380,673
1,835
Adobe,
Inc.
l
872,304
1,765
Advanced
Energy
Industries,
Inc.
192,685
5,280
Agilysys,
Inc.
l
253,229
2,657
Alliance
Data
Systems
Corporation
297,823
3,604
Amphenol
Corporation
237,756
292
Analog
Devices,
Inc.
45,283
1,055
ANSYS,
Inc.
l
358,236
34,287
Apple,
Inc.
4,188,157
Shares
Common
Stock
(17.3%)
Value
Information
Technology
(3.8%)
-
continued
3,598
Axcelis
Technologies,
Inc.
l
$
147,842
3,310
BigCommerce
Holdings,
Inc.
l
191,318
2,451
Broadcom,
Ltd.
1,136,431
224
Broadridge
Financial
Solutions,
Inc.
34,294
5,646
Calix,
Inc.
l
195,690
8,182
Ciena
Corporation
l
447,719
18,158
Cisco
Systems,
Inc.
938,950
3,586
Computer
Services,
Inc.
211,574
2,128
Dolby
Laboratories,
Inc.
210,076
9,494
Dropbox,
Inc.
l
253,110
1,376
Enphase
Energy,
Inc.
l
223,132
392
Euronet
Worldwide,
Inc.
l
54,214
2,219
Fastly,
Inc.
k,l
149,294
730
FleetCor
Technologies,
Inc.
l
196,100
5,704
II-VI,
Inc.
l
389,983
802
Intuit,
Inc.
307,214
246
Jack
Henry
&
Associates,
Inc.
37,323
380
KLA-Tencor
Corporation
125,552
264
Lam
Research
Corporation
157,143
812
Littelfuse,
Inc.
214,725
1,360
Lumentum
Holdings,
Inc.
l
124,236
3,167
Mastercard,
Inc.
1,127,610
5,559
Microchip
Technology,
Inc.
862,868
10,971
Micron
Technology,
Inc.
l
967,752
20,589
Microsoft
Corporation
4,854,269
2,926
Motorola
Solutions,
Inc.
550,234
5,709
National
Instruments
Corporation
246,543
996
Nice,
Ltd.
ADR
l
217,098
21,953
Nuance
Communications,
Inc.
l
958,029
1,753
NVIDIA
Corporation
935,979
296
ON
Semiconductor
Corporation
l
12,317
6,854
Oracle
Corporation
480,945
5,787
PayPal
Holdings,
Inc.
l
1,405,315
2,060
Plexus
Corporation
l
189,190
1,154
Plug
Power,
Inc.
l
41,359
6,532
QUALCOMM,
Inc.
866,078
37,317
Sabre
Corporation
l
552,665
3,328
Salesforce.com,
Inc.
l
705,103
337
Samsung
Electronics
Company,
Ltd.
GDR
614,412
1,314
ServiceNow,
Inc.
l
657,145
3,972
Square,
Inc.
l
901,843
592
TE
Connectivity,
Ltd.
76,433
539
Teradyne,
Inc.
65,586
5,617
Texas
Instruments,
Inc.
1,061,557
17,649
TTM
Technologies,
Inc.
l
255,911
100
Tyler
Technologies,
Inc.
l
42,453
1,382
Visa,
Inc.
292,611
856
VMware,
Inc.
k,l
128,785
1,834
Western
Digital
Corporation
122,420
2,538
Workiva,
Inc.
l
224,004
Total
31,988,580
Materials
(0.5%)
9,007
Axalta
Coating
Systems,
Ltd.
l
266,427
3,911
Ball
Corporation
331,418
7,847
Carpenter
Technology
Corporation
322,904
8,576
CF
Industries
Holdings,
Inc.
389,179
1,958
Eastman
Chemical
Company
215,615
1,145
Ecolab,
Inc.
245,110
15,296
Element
Solutions,
Inc.
279,764
655
International
Flavors
&
Fragrances,
Inc.
91,445
31,426
Ivanhoe
Mines,
Ltd.
l
161,794
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
70
Shares
Common
Stock
(17.3%)
Value
Materials
(0.5%)
-
continued
1,565
LyondellBasell
Industries
NV
$
162,838
1,025
Martin
Marietta
Materials,
Inc.
344,215
5,013
Nucor
Corporation
402,393
37
PPG
Industries,
Inc.
5,560
6,455
Steel
Dynamics,
Inc.
327,656
470
SunCoke
Energy,
Inc.
3,295
4,121
UFP
Technologies,
Inc.
l
205,308
2,015
United
States
Lime
&
Minerals,
Inc.
269,426
4,104
W.
R.
Grace
&
Company
245,665
Total
4,270,012
Real
Estate
(0.6%)
1,314
Agree
Realty
Corporation
88,445
1,688
Alexandria
Real
Estate
Equities,
Inc.
277,338
10,961
American
Campus
Communities,
Inc.
473,186
2,390
Apartment
Investment
&
Management
Company
14,675
1,000
AvalonBay
Communities,
Inc.
184,510
2,493
Camden
Property
Trust
274,006
2,589
CBRE
Group,
Inc.
l
204,816
2,618
Colliers
International
Group,
Inc.
257,192
28
Community
Healthcare
Trust,
Inc.
1,291
1,653
Digital
Realty
Trust,
Inc.
232,809
5,715
Douglas
Emmett,
Inc.
179,451
5,418
Duke
Realty
Corporation
227,177
312
EastGroup
Properties,
Inc.
44,703
5,373
Essential
Properties
Realty
Trust,
Inc.
122,666
74
Extra
Space
Storage,
Inc.
9,809
2,163
First
Industrial
Realty
Trust,
Inc.
99,044
4,030
Four
Corners
Property
Trust,
Inc.
110,422
2,477
Healthcare
Realty
Trust,
Inc.
75,103
23,250
Host
Hotels
&
Resorts,
Inc.
l
391,762
10,562
Independence
Realty
Trust,
Inc.
160,542
347
Innovative
Industrial
Properties,
Inc.
62,516
3,425
iSTAR
Financial,
Inc.
60,896
3,064
MGIC
Investment
Corporation
42,436
6,311
National
Storage
Affiliates
Trust
251,998
3,908
New
Residential
Investment
Corporation
43,965
3,757
Pebblebrook
Hotel
Trust
91,258
183
Plymouth
Industrial
REIT,
Inc.
3,084
1,269
Public
Storage,
Inc.
313,138
3,011
Rayonier,
Inc.
REIT
97,105
2,179
Realty
Income
Corporation
138,366
1,772
Rexford
Industrial
Realty,
Inc.
89,309
6,830
Service
Properties
Trust
81,004
20,290
Sunstone
Hotel
Investors,
Inc.
l
252,813
Total
4,956,835
Utilities
(0.4%)
7,841
Alliant
Energy
Corporation
424,669
1,104
American
Electric
Power
Company,
Inc.
93,509
150
American
States
Water
Company
11,343
13,273
CenterPoint
Energy,
Inc.
300,633
3,648
Duke
Energy
Corporation
352,141
7,005
Entergy
Corporation
696,787
5,255
Exelon
Corporation
229,854
6,977
FirstEnergy
Corporation
242,032
1,141
NextEra
Energy
Partners,
LP
83,156
2,066
NextEra
Energy,
Inc.
156,210
Shares
Common
Stock
(17.3%)
Value
Utilities
(0.4%)
-
continued
1,656
NorthWestern
Corporation
$
107,971
3,430
Portland
General
Electric
Company
162,822
2,283
Spire,
Inc.
168,691
181
Unitil
Corporation
8,270
1,089
WEC
Energy
Group,
Inc.
101,920
Total
3,140,008
Total
Common
Stock
(cost
$102,376,472)
146,956,755
Shares
Registered
Investment
Companies
(
12.9%
)
Value
Unaffiliated  (1.3%)
38,518
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
157,539
20,475
AllianceBernstein
Global
High
Income
Fund,
Inc.
242,629
18,728
BlackRock
Core
Bond
Trust
294,029
17,154
BlackRock
Corporate
High
Yield
Fund,
Inc.
201,388
17,855
BlackRock
Credit
Allocation
Income
Trust
262,111
24,029
BlackRock
Enhanced
Equity
Dividend
Trust
227,314
14,914
BlackRock
Enhanced
Global
Dividend
Trust
171,362
14,641
BlackRock
Multi-Sector
Income
Trust
263,831
13,700
Brookfield
Real
Assets
Income
Fund,
Inc.
283,590
7,548
Cohen
&
Steers
Quality
Income
Realty
Fund,
Inc.
105,068
12,716
Eaton
Vance
Limited
Duration
Income
Fund
160,603
21,095
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
196,184
17,243
Invesco
Dynamic
Credit
Opportunities
Fund
196,053
5,028
Invesco
Senior
Loan
ETF
111,270
26,000
iShares
S&P
U.S.
Preferred
Stock
Index
Fund
k
998,400
20,819
Liberty
All-Star
Equity
Fund
158,849
34,950
Nuveen
Credit
Strategies
Income
Fund
227,175
14,035
PGIM
Global
High
Yield
Fund,
Inc.
209,402
11,860
PGIM
High
Yield
Bond
Fund,
Inc.
185,728
7,843
Pimco
Dynamic
Credit
And
Mortgage
Income
Fund
174,664
18,284
Royce
Micro-Cap
Trust,
Inc.
206,609
15,057
Royce
Value
Trust,
Inc.
272,682
2,013
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
k
219,014
81,343
SPDR
Bloomberg
Barclays
Short
Term
High
Yield
Bond
ETF
2,223,104
5,923
Tri-Continental
Corporation
192,083
28,000
Vanguard
Intermediate-Term
Corporate
Bond
ETF
2,604,840
12,821
Virtus
Dividend,
Interst
&
Premium
Strategy
Fund
176,673
48,564
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
276,815
32,550
Wells
Fargo
Income
Opportunities
Fund
274,722
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
71
Shares
Registered
Investment
Companies
(12.9%)
Value
Unaffiliated  (1.3%)-
continued
21,001
Western
Asset
High
Income
Opportunity
Fund,
Inc.
$
106,685
Total
11,380,416
Affiliated  (11.6%)
7,354,933
Thrivent
Core
Emerging
Markets
Debt
Fund
71,122,204
2,684,002
Thrivent
Core
International
Equity
Fund
27,269,462
Total
98,391,666
Total
Registered
Investment
Companies
(cost
$107,221,516)
109,772,082
Shares
Preferred
Stock
(
1.4%
)
Value
Communications
Services
(0.1%)
24,475
AT&T,
Inc.,
4.750%
i
618,483
6,825
AT&T,
Inc.,
5.000%
i
179,976
Total
798,459
Consumer
Discretionary
(<0.1%)
2,858
International
Flavors
&
Fragrances,
Inc.,
Convertible,
6.000%
140,156
Total
140,156
Consumer
Staples
(<0.1%)
4,150
CHS,
Inc.,
6.750%
b,i
114,623
Total
114,623
Energy
(0.1%)
28,205
Crestwood
Equity
Partners,
LP,
9.250%
i
243,691
5,300
Energy
Transfer
Operating,
LP,
7.600%
b,i
126,723
5,109
Nustar
Logistics,
LP,
6.975%
b
125,937
Total
496,351
Financials
(0.9%)
7,525
Aegon
Funding
Corporation
II,
5.100%
195,274
6,475
Agribank
FCB,
6.875%
b,i
699,300
15,500
Allstate
Corporation,
5.100%
i
418,655
13,200
Bank
of
America
Corporation,
5.000%
i
349,404
5,800
Bank
of
America
Corporation,
5.375%
i
157,064
218
Bank
of
America
Corporation,
Convertible,
7.250%
i
304,764
14,875
Capital
One
Financial
Corporation,
5.000%
i
383,031
8,650
Cobank
ACB,
6.250%
b,i
910,412
16,200
Equitable
Holdings,
Inc.,
5.250%
i
425,736
425
First
Horizon
Bank,
3.750%
b,g,i
352,750
8,462
GMAC
Capital
Trust
I,
5.983%
b
215,612
9,925
J.P.
Morgan
Chase
&
Company,
4.750%
i
262,219
9,600
J.P.
Morgan
Chase
&
Company,
5.750%
i
260,256
9,600
Legg
Mason,
Inc.,
5.450%
244,800
16,800
Morgan
Stanley,
5.850%
b,i
478,464
11,100
Morgan
Stanley,
7.125%
b,i
320,346
2,675
Synovus
Financial
Corporation,
5.875%
b,i
71,904
Shares
Preferred
Stock
(1.4%)
Value
Financials
(0.9%)
-
continued
14,400
Truist
Financial
Corporation,
4.750%
i
$
370,800
915
Wells
Fargo
&
Company,
Convertible,
7.500%
i
1,296,930
Total
7,717,721
Health
Care
(<0.1%)
156
Danaher
Corporation,
Convertible,
5.000%
k
202,051
Total
202,051
Industrials
(0.1%)
518
Fortive
Corporation,
Convertible,
5.000%
515,700
4,686
Stanley
Black
&
Decker,
Inc.,
Convertible,
5.250%
k
552,854
Total
1,068,554
Real
Estate
(0.1%)
17,650
Public
Storage,
4.125%
i
455,546
3,775
Public
Storage,
4.625%
i
101,397
958
Public
Storage,
4.700%
i,k
25,684
1,475
Public
Storage,
4.875%
i
39,501
Total
622,128
Utilities
(0.1%)
1,668
American
Electric
Power
Company,
Inc.,
Convertible,
6.125%
80,498
5,664
NextEra
Energy,
Inc.,
Convertible,
4.872%
325,170
19,200
Southern
Company,
4.950%
505,344
4,864
Southern
Company,
Convertible,
6.750%
247,723
Total
1,158,735
Total
Preferred
Stock
(cost
$11,759,096)
12,318,778
Shares
Collateral
Held
for
Securities
Loaned
(
0.8%
)
Value
6,451,818
Thrivent
Cash
Management
Trust
6,451,818
Total
Collateral
Held
for
Securities
Loaned
(cost
$6,451,818)
6,451,818
Shares
or
Principal
Amount
Short-Term
Investments
(
21.6%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
200,000
0.080%,
4/21/2021
m,n
200,000
1,600,000
0.035%,
4/28/2021
m,n
1,600,000
1,500,000
0.040%,
5/4/2021
m,n
1,499,986
400,000
0.030%,
5/18/2021
m,n
399,995
300,000
0.020%,
6/16/2021
m,n
299,987
100,000
0.000%,
7/7/2021
n
99,992
Thrivent
Core
Short-Term
Reserve
Fund
17,789,470
0.180%
177,894,699
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
72
Shares
or
Principal
Amount
Short-Term
Investments
(21.6%)
Value
U.S.
Treasury
Bills
400,000
0.022%,
4/20/2021
m,o
$
399,996
700,000
0.030%,
5/13/2021
m,o
699,984
Total
Short-Term
Investments
(cost
$183,082,004)
183,094,639
Total
Investments
(cost
$941,415,933)
117.5%
$996,756,484
Other
Assets
and
Liabilities,
Net
(17.5%)
(148,710,873)
Total
Net
Assets
100.0%
$848,045,611
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
March
31,
2021.
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
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
March
31,
2021.
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
March
31,
2021,
the
value
of
these
investments
was
$133,124,070
or
15.7%
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
March
31,
2021.
i
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
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.
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.
o
At
March
31,
2021,
$599,991
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
Diversified
Income
Plus
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
3,611,369
Common
Stock
2,593,362
Total
lending
$6,204,731
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$6,451,818
Net
amounts
due
to
counterparty
$247,087
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.
PIK
-
Payment-In-Kind
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
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
73
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
5,331,527
5,331,527
Capital
Goods
8,327,884
7,747,249
580,635
Communications
Services
18,082,933
18,082,933
Consumer
Cyclical
13,041,416
13,041,416
Consumer
Non-Cyclical
11,880,119
11,743,769
136,350
Energy
1,030,363
1,030,363
Financials
5,088,931
4,268,442
820,489
Technology
6,266,174
6,266,174
Transportation
4,318,100
4,318,100
Utilities
3,614,837
3,614,837
Long-Term
Fixed
Income
Asset-Backed
Securities
20,624,089
20,624,089
Basic
Materials
8,859,244
8,859,244
Capital
Goods
15,797,129
15,797,129
Collateralized
Mortgage
Obligations
49,478,173
49,078,173
400,000
Commercial
Mortgage-Backed
Securities
959,501
959,501
Communications
Services
21,636,959
21,505,783
131,176
Consumer
Cyclical
28,349,933
28,349,933
Consumer
Non-Cyclical
27,232,615
27,232,615
Energy
23,241,152
23,241,152
Financials
55,464,033
55,464,033
Foreign
Government
135,035
135,035
Mortgage-Backed
Securities
159,431,378
159,431,378
Technology
15,427,983
15,427,983
Transportation
5,795,470
5,795,470
U.S.
Government
&
Agencies
20,206,626
20,206,626
Utilities
8,540,808
8,540,808
Common
Stock
Communications
Services
12,312,226
12,252,245
59,981
Consumer
Discretionary
19,129,781
19,117,645
12,136
Consumer
Staples
5,464,142
5,464,142
Energy
5,503,750
5,503,750
Financials
23,118,493
22,764,351
354,142
Health
Care
17,827,923
17,827,923
Industrials
19,245,005
18,907,626
337,379
Information
Technology
31,988,580
31,374,168
614,412
Materials
4,270,012
4,108,218
161,794
Real
Estate
4,956,835
4,956,835
Utilities
3,140,008
3,140,008
Preferred
Stock
Communications
Services
798,459
798,459
Consumer
Discretionary
140,156
140,156
Consumer
Staples
114,623
114,623
Energy
496,351
496,351
Financials
7,717,721
7,364,971
352,750
Health
Care
202,051
202,051
Industrials
1,068,554
1,068,554
Real
Estate
622,128
622,128
Utilities
1,158,735
1,158,735
Registered
Investment
Companies
Unaffiliated
11,380,416
11,380,416
Short-Term
Investments
5,199,940
5,199,940
Subtotal
Investments
in
Securities
$714,018,301
$168,763,355
$543,186,296
$2,068,650
Other
Investments  *
Total
Affiliated
Registered
Investment
Companies
98,391,666
Affiliated
Short-Term
Investments
177,894,699
Collateral
Held
for
Securities
Loaned
6,451,818
Subtotal
Other
Investments
$282,738,183
Total
Investments
at
Value
$996,756,484
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
74
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
*
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
516,554
516,554
Total
Asset
Derivatives
$516,554
$516,554
$–
$–
Liability
Derivatives
Futures
Contracts
146,792
146,792
Total
Liability
Derivatives
$146,792
$146,792
$–
$–
The
following
table
presents
Diversified
Income
Plus
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$2,799,964
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
123
June
2021
$
27,176,651
(
$
27,284)
CBOT
5-Yr.
U.S.
Treasury
Note
30
June
2021
3,749,375
(
47,422)
CBOT
U.S.
Long
Bond
8
June
2021
1,292,397
(
55,647)
CME
E-mini
S&P
500
Index
8
June
2021
1,585,493
1,467
CME
Ultra
Long
Term
U.S.
Treasury
Bond
11
June
2021
2,009,846
(
16,439)
ICE
mini
MSCI
EAFE
Index
18
June
2021
1,969,255
3,545
Total
Futures
Long
Contracts
$
37,783,017
(
$
141,780)
CBOT
10-Yr.
U.S.
Treasury
Note
(98)
June
2021
(
$
13,154,654)
$
322,779
CME
E-mini
Russell
2000
Index
(198)
June
2021
(
22,094,962)
92,212
Ultra
10-Yr.
U.S.
Treasury
Note
(18)
June
2021
(
2,682,927)
96,551
Total
Futures
Short
Contracts
(
$
37,932,543)
$511,542
Total
Futures
Contracts
(
$
149,526)
$369,762
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
75
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$41,977
$32,646
$–
$71,122
7,355
8.4%
Core
International
Equity
51,404
25,400
27,269
2,684
3.2
Total
Affiliated
Registered
Investment
Companies
93,381
98,391
11.6
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
109,523
284,200
215,828
177,895
17,789
21.0
Total
Affiliated
Short-Term
Investments
109,523
177,895
21.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
4,933
40,515
38,996
6,452
6,452
0.8
Total
Collateral
Held
for
Securities
Loaned
4,933
6,452
0.8
Total
Value
$207,837
$282,738
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$(3,501)
$546
Core
International
Equity
1,638
(373)
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
0
0
63
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$609
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
10
Total
Affiliated
Income
from
Securities
Loaned,
Net
$10
Total
Value
$1,638
$(3,874)
$–
ESG
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
76
Shares
Common
Stock
(
91.9%
)
Value
Communications
Services
(9.6%)
202
Alphabet,
Inc.,
Class
A
a
$
416,629
199
Alphabet,
Inc.,
Class
C
a
411,657
108
Discovery,
Inc.,
Class
A
a
4,694
207
Discovery,
Inc.,
Class
C
a
7,636
195
Electronic
Arts,
Inc.
26,397
30
John
Wiley
and
Sons,
Inc.
1,626
110
Liberty
Global
plc,
Class
A
a
2,823
249
Liberty
Global
plc,
Class
C
a
6,360
628
Lumen
Technologies,
Inc.
8,384
95
New
York
Times
Company
4,809
145
Omnicom
Group,
Inc.
10,752
17
Scholastic
Corporation
512
2,783
Verizon
Communications,
Inc.
161,831
1,218
Walt
Disney
Company
a
224,745
Total
1,288,855
Consumer
Discretionary
(10.8%)
182
Aptiv
plc
a
25,098
154
Aramark
5,818
56
Autoliv
,
Inc.
a
5,197
39
AutoNation,
Inc.
a
3,636
156
Best
Buy
Company,
Inc.
17,910
27
Booking
Holdings,
Inc.
a
62,906
165
BorgWarner,
Inc.
7,649
21
Buckle,
Inc.
825
61
Callaway
Golf
Company
1,632
97
Capri
Holdings,
Ltd.
a
4,947
110
CarMax,
Inc.
a
14,593
24
Choice
Hotels
International,
Inc.
2,575
20
Columbia
Sportswear
Company
2,113
88
Darden
Restaurants,
Inc.
12,496
19
Deckers
Outdoor
Corporation
a
6,278
26
Domino's
Pizza,
Inc.
9,563
14
Ethan
Allen
Interiors,
Inc.
387
67
Foot
Locker,
Inc.
3,769
39
GameStop
Corporation
a
7,403
150
Gap,
Inc.
a
4,467
97
Garmin,
Ltd.
12,789
235
Hanesbrands,
Inc.
4,622
102
Harley-Davidson,
Inc.
4,090
88
Hasbro,
Inc.
8,459
186
Hilton
Worldwide
Holdings,
Inc.
a
22,491
724
Home
Depot,
Inc.
221,001
15
Jack
in
the
Box,
Inc.
1,647
30
Knoll,
Inc.
495
106
Kohl's
Corporation
6,319
30
La-Z-Boy,
Inc.
1,274
195
LKQ
Corporation
a
8,254
493
Lowe's
Companies,
Inc.
93,759
185
Marriott
International,
Inc.
a
27,400
234
Mattel,
Inc.
a
4,661
501
McDonald's
Corporation
112,294
26
Meritage
Homes
Corporation
a
2,390
40
Mohawk
Industries,
Inc.
a
7,692
272
Newell
Brands,
Inc.
7,284
844
NIKE,
Inc.
112,159
73
Nordstrom,
Inc.
a
2,764
36
Office
Depot,
Inc.
a
1,558
27
Pool
Corporation
9,321
48
PVH
Corporation
a
5,074
154
Royal
Caribbean
Cruises,
Ltd.
a
13,184
35
Signet
Jewelers,
Ltd.
a
2,029
789
Starbucks
Corporation
86,214
337
Target
Corporation
66,750
510
Tesla,
Inc.
a
340,644
Shares
Common
Stock
(91.9%)
Value
Consumer
Discretionary
(10.8%)
-
continued
78
Tractor
Supply
Company
$
13,812
36
Ulta
Beauty,
Inc.
a
11,130
127
Under
Armour
,
Inc.,
Class
A
a
2,814
134
Under
Armour
,
Inc.,
Class
C
a
2,474
27
Vail
Resorts,
Inc.
a
7,875
223
VF
Corporation
17,822
42
Whirlpool
Corporation
9,255
55
Wolverine
World
Wide,
Inc.
2,108
Total
1,453,170
Consumer
Staples
(6.7%)
374
Archer-Daniels-Midland
Company
21,318
94
Bunge,
Ltd.
7,451
122
Campbell
Soup
Company
6,133
85
Clorox
Company
16,395
2,745
Coca-Cola
Company
144,689
548
Colgate-Palmolive
Company
43,199
328
Conagra
Brands,
Inc.
12,333
109
Darling
Ingredients,
Inc.
a
8,020
152
Estee
Lauder
Companies,
Inc.
44,209
412
General
Mills,
Inc.
25,264
54
Hain
Celestial
Group,
Inc.
a
2,354
200
Hormel
Foods
Corporation
9,556
45
Ingredion,
Inc.
4,046
77
J.M.
Smucker
Company
9,743
173
Kellogg
Company
10,951
379
Keurig
Dr
Pepper,
Inc.
13,026
228
Kimberly-Clark
Corporation
31,703
453
Kraft
Heinz
Company
18,120
520
Kroger
Company
18,715
98
Lamb
Weston
Holdings,
Inc.
7,593
167
McCormick
&
Company,
Inc.
14,890
962
Mondelez
International,
Inc.
56,306
929
PepsiCo,
Inc.
131,407
1,667
Procter
&
Gamble
Company
225,762
325
Sysco
Corporation
25,591
38
United
Natural
Foods,
Inc.
a
1,252
Total
910,026
Energy
(1.9%)
253
APA
Corporation
4,529
461
Baker
Hughes
Company
9,962
153
Cheniere
Energy,
Inc.
a
11,018
912
ConocoPhillips
48,309
31
Core
Laboratories
NV
892
407
Devon
Energy
Corporation
8,893
185
EQT
Corporation
a
3,437
186
Hess
Corporation
13,161
529
Marathon
Oil
Corporation
5,650
438
Marathon
Petroleum
Corporation
23,429
260
NOV,
Inc.
a
3,567
626
Occidental
Petroleum
Corporation
16,664
299
ONEOK,
Inc.
15,147
294
Phillips
66
23,973
139
Pioneer
Natural
Resources
Company
22,076
936
Schlumberger,
Ltd.
25,450
454
Southwestern
Energy
Company
a
2,111
289
TechnipFMC
plc
a
2,231
275
Valero
Energy
Corporation
19,690
Total
260,189
Financials
(7.9%)
72
Air
Lease
Corporation
3,528
205
Allstate
Corporation
23,555
ESG
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
77
Shares
Common
Stock
(91.9%)
Value
Financials
(7.9%)
-
continued
251
Ally
Financial,
Inc.
$
11,348
461
American
Express
Company
65,204
79
Ameriprise
Financial,
Inc.
18,364
130
Arthur
J.
Gallagher
&
Company
16,220
27
Bank
of
Hawaii
Corporation
2,416
536
Bank
of
New
York
Mellon
Corporation
25,347
103
BlackRock,
Inc.
77,658
51
Cathay
General
Bancorp
2,080
1,029
Charles
Schwab
Corporation
67,070
303
Chubb,
Ltd.
47,865
66
CIT
Group,
Inc.
3,400
288
Citizens
Financial
Group,
Inc.
12,715
241
CME
Group,
Inc.
49,219
94
Comerica,
Inc.
6,744
270
Equitable
Holdings,
Inc.
8,807
26
FactSet
Research
Systems,
Inc.
8,023
117
First
Republic
Bank
19,510
204
Franklin
Resources,
Inc.
6,038
241
Hartford
Financial
Services
Group,
Inc.
16,096
21
Heartland
Financial
USA,
Inc.
1,055
684
Huntington
Bancshares,
Inc.
10,753
377
Intercontinental
Exchange,
Inc.
42,103
36
International
Bancshares
Corporation
1,671
264
Invesco,
Ltd.
6,658
657
KeyCorp
13,127
130
Lincoln
National
Corporation
8,095
166
Loews
Corporation
8,512
87
M&T
Bank
Corporation
13,190
341
Marsh
&
McLennan
Companies,
Inc.
41,534
114
Moody's
Corporation
34,042
313
New
York
Community
Bancorp,
Inc.
3,950
133
Northern
Trust
Corporation
13,980
77
Old
National
Bancorp
1,489
287
People's
United
Financial,
Inc.
5,137
285
PNC
Financial
Services
Group,
Inc.
49,992
185
Principal
Financial
Group,
Inc.
11,093
394
Progressive
Corporation
37,670
266
Prudential
Financial,
Inc.
24,233
645
Regions
Financial
Corporation
13,326
162
S&P
Global,
Inc.
57,165
237
State
Street
Corporation
19,910
35
SVB
Financial
Group
a
17,278
152
T.
Rowe
Price
Group,
Inc.
26,083
170
Travelers
Companies,
Inc.
25,568
906
Truist
Financial
Corporation
52,838
147
Umpqua
Holdings
Corporation
2,580
85
Voya
Financial,
Inc.
5,409
87
Willis
Towers
Watson
plc
19,913
110
Zions
Bancorporations
NA
6,046
Total
1,065,607
Health
Care
(9.5%)
1,188
AbbVie,
Inc.
128,565
30
ABIOMED,
Inc.
a
9,562
207
Agilent
Technologies,
Inc.
26,318
50
Align
Technology,
Inc.
a
27,077
103
AmerisourceBergen
Corporation
12,161
392
Amgen,
Inc.
97,534
195
Becton,
Dickinson
and
Company
47,414
Shares
Common
Stock
(91.9%)
Value
Health
Care
(9.5%)
-
continued
104
Biogen,
Inc.
a
$
29,094
122
BioMarin
Pharmaceutical,
Inc.
a
9,212
26
Bio-
Techne
Corporation
9,930
1,520
Bristol-Myers
Squibb
Company
95,958
198
Cardinal
Health,
Inc.
12,029
390
Centene
Corporation
a
24,925
206
Cerner
Corporation
14,807
243
Cigna
Holding
Company
58,743
36
Cooper
Companies,
Inc.
13,827
52
DaVita,
Inc.
a
5,604
147
Dentsply
Sirona,
Inc.
9,380
65
Dexcom
,
Inc.
a
23,360
419
Edwards
Lifesciences
Corporation
a
35,045
843
Gilead
Sciences,
Inc.
54,483
182
HCA
Healthcare,
Inc.
34,278
95
Henry
Schein,
Inc.
a
6,578
173
Hologic
,
Inc.
a
12,868
89
Humana,
Inc.
37,313
58
IDEXX
Laboratories,
Inc.
a
28,380
98
Illumina,
Inc.
a
37,638
129
IQVIA
Holding,
Inc.
a
24,915
38
Jazz
Pharmaceuticals,
Inc.
a
6,246
65
Laboratory
Corporation
of
America
Holdings
a
16,577
58
Mednax
,
Inc.
a
1,477
1,702
Merck
&
Company,
Inc.
131,207
16
Mettler
-Toledo
International,
Inc.
a
18,491
57
Patterson
Companies,
Inc.
1,821
91
Quest
Diagnostics,
Inc.
11,679
97
ResMed
,
Inc.
18,820
72
Select
Medical
Holdings
Corporation
a
2,455
78
Teladoc
Health,
Inc.
a
14,177
62
Varian
Medical
Systems,
Inc.
a
10,945
175
Vertex
Pharmaceuticals,
Inc.
a
37,606
42
Waters
Corporation
a
11,935
49
West
Pharmaceutical
Services,
Inc.
13,807
319
Zoetis,
Inc.
50,236
Total
1,274,477
Industrials
(9.4%)
388
3M
Company
74,760
91
A.O.
Smith
Corporation
6,153
53
Acco
Brands
Corporation
447
25
Acuity
Brands,
Inc.
4,125
43
AGCO
Corporation
6,177
62
Allegion
plc
7,788
7
AMERCO
4,288
26
Applied
Industrial
Technologies,
Inc.
2,370
18
ArcBest
Corporation
1,267
36
ASGN,
Inc.
a
3,436
37
Avis
Budget
Group,
Inc.
a
2,684
131
Builders
FirstSource
,
Inc.
a
6,075
91
C.H.
Robinson
Worldwide,
Inc.
8,684
365
Caterpillar,
Inc.
84,633
143
Copart
,
Inc.
a
15,531
514
CSX
Corporation
49,560
100
Cummins,
Inc.
25,911
201
Deere
&
Company
75,202
107
Delta
Air
Lines,
Inc.
a
5,166
27
Deluxe
Corporation
1,133
97
Dover
Corporation
13,302
269
Eaton
Corporation
plc
37,197
ESG
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
78
Shares
Common
Stock
(91.9%)
Value
Industrials
(9.4%)
-
continued
10
Echo
Global
Logistics,
Inc.
a
$
314
37
EMCOR
Group,
Inc.
4,150
114
Expeditors
International
of
Washington,
Inc.
12,277
35
Exponent,
Inc.
3,411
386
Fastenal
Company
19,408
88
Flowserve
Corporation
3,415
204
Fortive
Corporation
14,411
94
Fortune
Brands
Home
and
Security,
Inc.
9,007
112
Graco
,
Inc.
8,022
32
Granite
Construction,
Inc.
1,288
19
H&E
Equipment
Services,
Inc.
722
11
Heidrick
&
Struggles
International,
Inc.
393
29
HNI
Corporation
1,147
13
ICF
International,
Inc.
1,136
51
IDEX
Corporation
10,675
254
IHS
Markit
,
Ltd.
24,582
213
Illinois
Tool
Works,
Inc.
47,184
35
Interface,
Inc.
437
487
Johnson
Controls
International
plc
29,059
63
Kansas
City
Southern
16,627
19
Kelly
Services,
Inc.
a
423
23
Lennox
International,
Inc.
7,167
38
Lincoln
Electric
Holdings,
Inc.
4,672
353
Linde
Public
Limited
Company
98,889
39
Manpower,
Inc.
3,857
176
Masco
Corporation
10,542
47
Meritor,
Inc.
a
1,383
37
Middleby
Corporation
a
6,133
171
Norfolk
Southern
Corporation
45,917
72
Owens
Corning,
Inc.
6,631
233
PACCAR,
Inc.
21,650
87
Parker-Hannifin
Corporation
27,442
94
Quanta
Services,
Inc.
8,270
18
Resources
Connection,
Inc.
244
77
Robert
Half
International,
Inc.
6,011
78
Rockwell
Automation,
Inc.
20,704
71
Roper
Industries,
Inc.
28,637
36
Ryder
System,
Inc.
2,723
35
Snap-On,
Inc.
8,076
100
Southwest
Airlines
Company
a
6,106
71
Spirit
Aerosystems
Holdings,
Inc.
3,454
108
Stanley
Black
&
Decker,
Inc.
21,564
49
Steelcase,
Inc.
705
11
Tennant
Company
879
36
Tetra
Tech,
Inc.
4,886
46
Timken
Company
3,734
162
Trane
Technologies
plc
26,821
129
TransUnion
11,610
22
TrueBlue
,
Inc.
a
484
454
Union
Pacific
Corporation
100,066
481
United
Parcel
Service,
Inc.
81,765
49
United
Rentals,
Inc.
a
16,136
30
W.W.
Grainger,
Inc.
12,028
122
Wabtec
Corporation
9,658
121
Xylem,
Inc.
12,727
Total
1,265,548
Information
Technology
(29.5%)
426
Accenture
plc
117,683
322
Adobe,
Inc.
a
153,069
809
Advanced
Micro
Devices,
Inc.
a
63,506
249
Analog
Devices,
Inc.
38,615
Shares
Common
Stock
(91.9%)
Value
Information
Technology
(29.5%)
-
continued
58
ANSYS,
Inc.
a
$
19,694
614
Applied
Materials,
Inc.
82,030
147
Autodesk,
Inc.
a
40,741
289
Automatic
Data
Processing,
Inc.
54,468
188
Cadence
Design
Systems,
Inc.
a
25,754
2,842
Cisco
Systems,
Inc.
146,960
78
Citrix
Systems,
Inc.
10,948
117
Cognex
Corporation
9,710
360
Cognizant
Technology
Solutions
Corporation
28,123
134
CommScope
Holding
Company,
Inc.
a
2,058
514
Corning,
Inc.
22,364
166
Dell,
Inc.
a
14,633
42
F5
Networks,
Inc.
a
8,762
337
Flextronics
International,
Ltd.
a
6,170
93
Fortinet,
Inc.
a
17,151
866
Hewlett
Packard
Enterprise
Company
13,631
923
HP,
Inc.
29,305
2,756
Intel
Corporation
176,384
599
International
Business
Machines
Corporation
79,823
176
Intuit,
Inc.
67,419
26
Itron
,
Inc.
a
2,305
124
Keysight
Technologies,
Inc.
a
17,782
97
Lam
Research
Corporation
57,738
598
Mastercard
,
Inc.
212,918
175
Microchip
Technology,
Inc.
27,164
4,830
Microsoft
Corporation
1,138,769
114
Motorola
Solutions,
Inc.
21,438
379
NortonLifeLock
,
Inc.
8,058
416
NVIDIA
Corporation
222,115
81
Okta
,
Inc.
a
17,855
276
ON
Semiconductor
Corporation
a
11,484
1,316
Oracle
Corporation
92,344
33
Paycom
Software,
Inc.
a
12,212
749
PayPal
Holdings,
Inc.
a
181,887
24
Plantronics,
Inc.
a
934
612
Salesforce.com,
Inc.
a
129,664
105
Sensata
Technologies
Holding
plc
a
6,085
131
ServiceNow
,
Inc.
a
65,514
111
Skyworks
Solutions,
Inc.
20,366
309
Slack
Technologies,
Inc.
a
12,555
108
Splunk
,
Inc.
a
14,632
222
TE
Connectivity,
Ltd.
28,662
74
Teradata
Corporation
a
2,852
617
Texas
Instruments,
Inc.
116,607
168
Trimble,
Inc.
a
13,069
1,138
Visa,
Inc.
240,949
58
VMware,
Inc.
a
8,726
276
Western
Union
Company
6,806
121
Workday,
Inc.
a
30,060
113
Xerox
Holdings
Corporation
2,743
36
Zebra
Technologies
Corporation
a
17,466
Total
3,970,760
Materials
(2.2%)
149
Air
Products
and
Chemicals,
Inc.
41,920
78
Albemarle
Corporation
11,397
1,056
Amcor
plc
12,334
56
Avery
Dennison
Corporation
10,284
143
Axalta
Coating
Systems,
Ltd.
a
4,230
220
Ball
Corporation
18,643
ESG
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
79
Shares
Common
Stock
(91.9%)
Value
Materials
(2.2%)
-
continued
23
Compass
Minerals
International,
Inc.
$
1,443
37
Domtar
Corporation
1,367
173
Ecolab,
Inc.
37,034
35
H.B.
Fuller
Company
2,202
150
International
Flavors
&
Fragrances,
Inc.
20,941
23
Minerals
Technologies,
Inc.
1,732
243
Mosaic
Company
7,681
540
Newmont
Mining
Corporation
32,546
204
Nucor
Corporation
16,375
159
PPG
Industries,
Inc.
23,891
15
Schnitzer
Steel
Industries,
Inc.
627
104
Sealed
Air
Corporation
4,765
55
Sherwin-Williams
Company
40,591
68
Sonoco
Products
Company
4,304
Total
294,307
Real
Estate
(2.8%)
299
American
Tower
Corporation
71,479
94
AvalonBay
Communities,
Inc.
17,344
100
Boston
Properties,
Inc.
10,126
226
CBRE
Group,
Inc.
a
17,879
74
Corporate
Office
Properties
Trust
1,948
188
Digital
Realty
Trust,
Inc.
26,478
250
Duke
Realty
Corporation
10,483
59
Equinix
,
Inc.
40,096
250
Equity
Residential
17,908
48
Federal
Realty
Investment
Trust
4,870
363
Healthpeak
Properties,
Inc.
11,522
473
Host
Hotels
&
Resorts,
Inc.
a
7,970
194
Iron
Mountain,
Inc.
7,180
35
Jones
Lang
LaSalle,
Inc.
a
6,266
66
Macerich
Company
772
45
PotlatchDeltic
Corporation
2,381
497
Prologis,
Inc.
52,682
77
Realogy
Holdings
Corporation
a
1,165
75
SBA
Communications
Corporation
20,816
221
Simon
Property
Group,
Inc.
25,143
198
UDR,
Inc.
8,684
502
Weyerhaeuser
Company
17,871
Total
381,063
Utilities
(1.6%)
447
AES
Corporation
11,984
167
Alliant
Energy
Corporation
9,045
121
American
Water
Works
Company,
Inc.
18,140
85
Atmos
Energy
Corporation
8,402
46
Avista
Corporation
2,196
367
CenterPoint
Energy,
Inc.
8,313
192
CMS
Energy
Corporation
11,754
226
Consolidated
Edison,
Inc.
16,905
156
Essential
Utilities,
Inc.
6,981
231
Eversource
Energy
20,002
365
FirstEnergy
Corporation
12,662
134
MDU
Resources
Group,
Inc.
4,236
65
New
Jersey
Resources
Corporation
2,592
258
NiSource,
Inc.
6,220
20
Northwest
Natural
Holding
Company
1,079
135
OGE
Energy
Corporation
4,369
30
Ormat
Technologies,
Inc.
2,356
518
PPL
Corporation
14,939
Shares
Common
Stock
(91.9%)
Value
Utilities
(1.6%)
-
continued
194
Sempra
Energy
$
25,721
141
UGI
Corporation
5,782
212
WEC
Energy
Group,
Inc.
19,841
Total
213,519
Total
Common
Stock
(cost
$10,406,947)
12,377,521
Shares
Registered
Investment
Companies
(
7.4%
)
Value
Unaffiliated  (7.4%)
12,979
iShares
MSCI
KLD
400
Social
ETF
991,076
Total
991,076
Total
Registered
Investment
Companies
(cost
$947,702)
991,076
Shares
Short-Term
Investments
(
0.2%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
2,404
0.180%
24,045
Total
Short-Term
Investments
(cost
$24,044)
24,045
Total
Investments
(cost
$11,378,693)
99.5%
$13,392,642
Other
Assets
and
Liabilities,
Net
0.5%
72,942
Total
Net
Assets
100.0%
$13,465,584
a
Non-income
producing
security.
Definitions:
ETF
-
Exchange
Traded
Fund
ESG
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
80
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
ESG
Index
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
1,288,855
1,288,855
Consumer
Discretionary
1,453,170
1,453,170
Consumer
Staples
910,026
910,026
Energy
260,189
260,189
Financials
1,065,607
1,065,607
Health
Care
1,274,477
1,274,477
Industrials
1,265,548
1,265,548
Information
Technology
3,970,760
3,970,760
Materials
294,307
294,307
Real
Estate
381,063
381,063
Utilities
213,519
213,519
Registered
Investment
Companies
Unaffiliated
991,076
991,076
Subtotal
Investments
in
Securities
$13,368,597
$13,368,597
$–
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
24,045
Subtotal
Other
Investments
$24,045
Total
Investments
at
Value
$13,392,642
*
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.  
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
ESG
Index
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$90
$2,305
$2,371
$24
2
0.2%
Total
Affiliated
Short-Term
Investments
90
24
0.2
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
22
22
Total
Collateral
Held
for
Securities
Loaned
Total
Value
$90
$24
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$0
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$0
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$–
$–
$–
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
81
Shares
Common
Stock
(
83.5%
)
Value
Communications
Services
(6.5%)
38,149
Activision
Blizzard,
Inc.
$
3,547,857
9,278
Alphabet,
Inc.,
Class
A
a
19,136,061
1,623
Alphabet,
Inc.,
Class
C
a
3,357,386
8,847
AMC
Networks,
Inc.
a
470,307
3,494
ANGI
Homeservices,
Inc.
a
45,422
443,185
Auto
Trader
Group
plc
a,b
3,388,622
37,522
BCE,
Inc.
1,693,820
524
Cardlytics,
Inc.
a
57,483
2,202
Cars.com
Inc.
a
28,538
84,245
Carsales.com,
Ltd.
1,145,658
112,110
Cineworld
Group
plc
a,c
149,033
110,517
Comcast
Corporation
5,980,075
1,477
Consolidated
Communications
Holdings,
Inc.
a
10,634
81,288
Deutsche
Telekom
AG
1,638,238
10,200
DIP
Corporation
268,349
24,701
Discovery,
Inc.,
Class
A
a,c
1,073,505
2,010
EchoStar
Corporation
a
48,240
7,034
Entercom
Communications
Corporation
a
36,928
41,741
Facebook,
Inc.
a
12,293,977
6,608
Gannett
Company,
Inc.
a
35,551
1,955
Gray
Television,
Inc.
35,972
1,188
Hemisphere
Media
Group,
Inc.
a
13,840
6,596
Interpublic
Group
of
Companies,
Inc.
192,603
8,758
Ipsos
SA
330,422
25,900
KDDI
Corporation
797,997
45,968
Live
Nation
Entertainment,
Inc.
a
3,891,191
8,471
Match
Group,
Inc.
a
1,163,746
137,048
Mediaset
Espana
Comunicacion
SA
a
814,030
100,400
Nippon
Telegraph
&
Telephone
Corporation
2,590,513
1,781
Omnicom
Group,
Inc.
132,061
13,144
REA
Group,
Ltd.
1,422,361
4,239
Rightmove
plc
a
34,017
5,010
RingCentral,
Inc.
a
1,492,379
804
Scholastic
Corporation
24,208
106,200
SoftBank
Corporation
1,381,616
21,700
SoftBank
Group
Corporation
1,847,487
27,573
Spark
New
Zealand,
Ltd.
86,363
1,249
Stroeer
SE
101,766
3,563
Take-Two
Interactive
Software,
Inc.
a
629,582
4,378
Telephone
&
Data
Systems,
Inc.
100,519
79,000
TV
Asahi
Holdings
Corporation
1,488,829
84,855
Twitter,
Inc.
a
5,399,324
113,748
Uber
Technologies,
Inc.
a
6,200,403
712
United
States
Cellular
Corporation
a
25,974
3,700
Vector,
Inc.
a
43,493
104,399
Verizon
Communications,
Inc.
6,070,802
2,831
WideOpenWest,
Inc.
a
38,473
Total
90,755,655
Consumer
Discretionary
(11.0%)
1,163
Aaron's
Company,
Inc.
29,866
6,200
ABC-MART,
Inc.
350,114
3,679
Adient
plc
a
162,612
9,231
Amazon.com,
Inc.
a
28,561,452
7,989
American
Axle
&
Manufacturing
Holdings,
Inc.
a
77,174
5,070
American
Eagle
Outfitters,
Inc.
c
148,247
53,606
Aptiv
plc
a
7,392,267
14,779
ARB
Corporation,
Ltd.
388,534
Shares
Common
Stock
(83.5%)
Value
Consumer
Discretionary
(11.0%)
-
continued
57,694
Aristocrat
Leisure,
Ltd.
$
1,513,638
10,717
At
Home
Group,
Inc.
a
307,578
2,185
AutoNation,
Inc.
a
203,686
1,817
AutoZone,
Inc.
a
2,551,613
198,879
B&M
European
Value
Retail
SA
1,446,962
7,113
Bally's
Corporation
a
462,203
6,300
Bandai
Namco
Holdings,
Inc.
450,371
2,197
Basic-Fit
NV
a,b
84,442
2,053
Beazer
Homes
USA,
Inc.
a
42,949
1,687
Bed
Bath
&
Beyond,
Inc.
a
49,176
2,033
Big
5
Sporting
Goods
Corporation
31,918
2,263
BJ's
Restaurants,
Inc.
a
131,435
2,014
Booking
Holdings,
Inc.
a
4,692,298
9,798
Breville
Group,
Ltd.
201,697
3,035
Bright
Horizons
Family
Solutions,
Inc.
a
520,351
1,011
Brinker
International,
Inc.
a
71,842
958
Brunswick
Corporation
91,364
4,001
Burlington
Stores,
Inc.
a
1,195,499
11,052
Caesars
Entertainment,
Inc.
a
966,497
553
Camping
World
Holdings,
Inc.
20,118
4,625
Carnival
Corporation
a
122,747
7,961
Carvana
Company
a
2,088,966
62
Cavco
Industries,
Inc.
a
13,988
583
Century
Casinos,
Inc.
a
5,987
8,810
Chegg,
Inc.
a
754,665
10,995
Chewy,
Inc.
a,c
931,386
28,214
Chico's
FAS,
Inc.
a
93,388
2,286
Children's
Place,
Inc.
a
159,334
4,028
Chipotle
Mexican
Grill,
Inc.
a
5,723,063
14,500
Chiyoda
Company,
Ltd.
130,089
6,634
Choice
Hotels
International,
Inc.
711,762
430
Churchill
Downs,
Inc.
97,791
24,230
Cooper-Standard
Holdings,
Inc.
a
880,034
12,452
Corporate
Travel
Management,
Ltd.
a
186,436
1,547
Cracker
Barrel
Old
Country
Store,
Inc.
267,445
4,584
Culp,
Inc.
70,548
23,255
D.R.
Horton,
Inc.
2,072,486
26,487
Daimler
AG
2,363,967
5,909
Dana,
Inc.
143,766
1,965
Darden
Restaurants,
Inc.
279,030
697
Deckers
Outdoor
Corporation
a
230,303
53,200
Denso
Corporation
3,546,531
3,902
Designer
Brands,
Inc.
a
67,895
7,398
Dick's
Sporting
Goods,
Inc.
563,358
2,529
Dillard's,
Inc.
244,226
53,916
Dollarama,
Inc.
2,381,966
29,104
Dometic
Group
AB
a,b
423,042
7,760
Domino's
Pizza
Enterprises,
Ltd.
569,558
1,923
Domino's
Pizza,
Inc.
707,260
1,099
Dorman
Products,
Inc.
a
112,801
55,414
Duluth
Holdings,
Inc.
a,c
938,713
6,232
Emerald
Holding,
Inc.
a
34,401
59,794
Entain
plc
a
1,250,461
980
Ethan
Allen
Interiors,
Inc.
27,058
1,438
Etsy,
Inc.
a
290,001
9,247
Evolution
Gaming
Group
AB
b
1,361,760
10,241
Farfetch,
Ltd.
a,c
542,978
2,600
Fast
Retailing
Company,
Ltd.
2,078,382
9,587
Ferrari
NV
2,005,450
7,593
Five
Below,
Inc.
a
1,448,668
3,006
Foot
Locker,
Inc.
169,087
295
Fox
Factory
Holding
Corporation
a
37,483
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
82
Shares
Common
Stock
(83.5%)
Value
Consumer
Discretionary
(11.0%)
-
continued
292,000
Galaxy
Entertainment
Group,
Ltd.
a
$
2,639,778
13,023
Gap,
Inc.
a
387,825
514
Garmin,
Ltd.
67,771
16,599
Gentex
Corporation
592,086
2,919
Genuine
Parts
Company
337,407
3,616
G-III
Apparel
Group,
Ltd.
a
108,986
5,310
Goodyear
Tire
&
Rubber
Company
a
93,297
62
Graham
Holdings
Company
34,871
1,785
Grand
Canyon
Education,
Inc.
a
191,174
1,649
Group
1
Automotive,
Inc.
260,196
6,648
Guess
?,
Inc.
156,228
14,557
Hanesbrands,
Inc.
286,336
2,560
Harley-Davidson,
Inc.
102,656
1,007
Helen
of
Troy,
Ltd.
a
212,135
1,818
Hermes
International
2,010,710
3,400
Hikari
Tsushin,
Inc.
685,497
30,507
Howden
Joinery
Group
plc
308,263
109,954
Husqvarna
AB
1,585,166
6,116
IAA,
Inc.
a
337,236
45,842
Industria
de
Diseno
Textil
SA
1,514,623
16,141
InterContinental
Hotels
Group
plc
a
1,110,012
5,200
Izumi
Company,
Ltd.
204,193
5,139
JD
Sports
Fashion
plc
a
58,419
2,292
KB
Home
106,647
4,865
Knoll,
Inc.
80,321
17,647
Kohl's
Corporation
1,051,938
5,000
KOMEDA
Holdings
Company,
Ltd.
91,197
6,178
L
Brands,
Inc.
a
382,171
5,184
Lear
Corporation
939,600
4,193
Lithia
Motors,
Inc.
1,635,647
30,639
Lowe's
Companies,
Inc.
5,826,925
2,252
LVMH
Moet
Hennessy
Louis
Vuitton
SE
1,504,232
1,608
M.D.C.
Holdings,
Inc.
95,515
1,358
M/I
Homes,
Inc.
a
80,217
26,959
Macy's,
Inc.
a
436,466
5,297
Magnite,
Inc.
a
220,408
470
Marriott
Vacations
Worldwide
Corporation
a
81,865
9,600
Marui
Group
Company,
Ltd.
180,938
9,633
Mattel,
Inc.
a
191,889
1,537
Meritage
Homes
Corporation
a
141,281
6,823
Mohawk
Industries,
Inc.
a
1,312,131
106,551
Moneysupermarket.com
Group
plc
391,740
1,947
Nautilus,
Inc.
a
30,451
7,299
Next
plc
a
791,086
42,100
NHK
Spring
Company,
Ltd.
316,831
5,800
Nihon
Unisys,
Ltd.
179,373
123,300
Nissan
Motor
Company,
Ltd.
a
688,834
900
Nitori
Holdings
Company,
Ltd.
174,334
728
Noodles
&
Company
a
7,535
12,012
Nordstrom,
Inc.
a
454,894
11,822
Norwegian
Cruise
Line
Holdings,
Ltd.
a
326,169
311
NVR,
Inc.
a
1,465,099
6,560
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
570,720
1,263
Overstock.com,
Inc.
a
83,686
16,363
Park
Hotels
&
Resorts,
Inc.
a
353,114
5,480
Penn
National
Gaming,
Inc.
a
574,523
21,234
Planet
Fitness,
Inc.
a
1,641,388
3,867
Playa
Hotels
and
Resorts
NV
a
28,229
9,559
Playtech
plc
a
58,244
10,000
PLENUS
Company,
Ltd.
a
171,004
Shares
Common
Stock
(83.5%)
Value
Consumer
Discretionary
(11.0%)
-
continued
5,650
Pointsbet
Holdings,
Ltd.
a
$
53,571
868
Pool
Corporation
299,668
6,137
Premier
Investments,
Ltd.
121,760
5,639
PulteGroup,
Inc.
295,709
1,177
Purple
Innovation,
Inc.
a
37,252
425
PVH
Corporation
a
44,923
27,073
Qurate
Retail,
Inc.
318,378
13,316
Restaurant
Brands
International,
Inc.
865,540
11,800
Rinnai
Corporation
1,323,511
1,623
Royal
Caribbean
Cruises,
Ltd.
a
138,945
5,792
Ruth's
Hospitality
Group,
Inc.
a
143,815
40,400
Sands
China,
Ltd.
a
202,490
24,800
Sangetsu
Company,
Ltd.
376,697
20,900
Sekisui
House,
Ltd.
449,562
17,657
Skyline
Corporation
a
799,156
13,000
Sony
Corporation
1,375,835
30,538
Sony
Corporation
ADR
3,237,333
3,677
Standard
Motor
Products,
Inc.
152,890
592
Strategic
Education,
Inc.
54,411
177,700
Sumitomo
Electric
Industries,
Ltd.
2,672,038
107,432
Tabcorp
Holdings,
Ltd.
383,830
4,000
Takara
Standard
Company,
Ltd.
60,337
20,628
Taylor
Morrison
Home
Corporation
a
635,549
9,864
Tenneco,
Inc.
a
105,742
10,261
Tesla,
Inc.
a
6,853,630
1,217
Thor
Industries,
Inc.
c
163,979
20,472
Thule
Group
AB
a,b
889,990
9,093
Toll
Brothers,
Inc.
515,846
411
TopBuild
Corporation
a
86,076
13,600
Toyota
Motor
Corporation
1,058,352
10,021
Tri
Pointe
Homes,
Inc.
a
204,028
3,726
TripAdvisor,
Inc.
a
200,422
10,723
Tupperware
Brands
Corporation
a
283,194
3,098
Ulta
Beauty,
Inc.
a
957,809
13,500
USS
Company,
Ltd.
264,780
958
Vail
Resorts,
Inc.
a
279,410
507
Whirlpool
Corporation
111,717
395
Williams-Sonoma,
Inc.
70,784
6,792
Wingstop,
Inc.
863,739
33
Winmark
Corporation
6,152
10,221
Wyndham
Hotels
&
Resorts,
Inc.
713,221
675
YETI
Holdings,
Inc.
a
48,742
1,286
Zumiez,
Inc.
a
55,169
Total
152,001,652
Consumer
Staples
(3.7%)
20,023
Anheuser-Busch
InBev
NV
1,258,707
11,700
Arcs
Company,
Ltd.
253,208
18,400
Asahi
Group
Holdings,
Ltd.
778,886
29,171
BJ's
Wholesale
Club
Holdings,
Inc.
a
1,308,611
166
Boston
Beer
Company,
Inc.
a
200,242
54,992
British
American
Tobacco
plc
2,090,282
71,900
Budweiser
Brewing
Company
APAC,
Ltd.
b
215,223
21,494
Carlsberg
AS
3,296,311
537
Casey's
General
Stores,
Inc.
116,094
1
Chocoladefabriken
Lindt
and
Spruengli
AG
91,369
65
Church
&
Dwight
Company,
Inc.
5,678
21,524
Coty,
Inc.
a
193,931
5,605
Darling
Ingredients,
Inc.
a
412,416
81,054
Diageo
plc
3,329,838
44,132
e.l.f.
Beauty,
Inc.
a
1,184,062
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
83
Shares
Common
Stock
(83.5%)
Value
Consumer
Staples
(3.7%)
-
continued
503
Edgewell
Personal
Care
Company
$
19,919
2,084
Flowers
Foods,
Inc.
49,599
21,277
ForFarmers
BV
146,729
5,160
Glanbia
plc
76,582
901
Hain
Celestial
Group,
Inc.
a
39,284
1,253
Hershey
Company
198,174
1,254
Ingredion,
Inc.
112,760
132,000
Japan
Tobacco,
Inc.
2,535,774
29,600
Kao
Corporation
1,958,593
7,900
Kewpie
Corporation
179,686
9,676
Kimberly-Clark
Corporation
1,345,448
5,800
Kobe
Bussan
Company,
Ltd.
155,511
24,581
Lamb
Weston
Holdings,
Inc.
1,904,536
155
Lindt
&
Spruengli
AG
1,350,236
9,023
L'Oreal
SA
3,456,554
361
Medifast,
Inc.
76,467
5,200
Ministop
Company,
Ltd.
68,528
89
Molson
Coors
Beverage
Company
a
4,552
65,685
Nestle
SA
7,322,327
7,881
NewAge,
Inc.
a,c
22,540
9,286
Orkla
ASA
91,068
2,174
Performance
Food
Group
Company
a
125,244
34,396
Philip
Morris
International,
Inc.
3,052,301
68
PriceSmart,
Inc.
6,579
6,399
Royal
Unibrew
AS
668,911
1,172
Seneca
Foods
Corporation
a
55,189
26,600
Seven
&
I
Holdings
Company,
Ltd.
1,074,146
726
Spectrum
Brands
Holdings,
Inc.
61,710
8,100
Sugi
Holdings
Company,
Ltd.
642,778
13,100
Sundrug
Company,
Ltd.
479,939
367
Tootsie
Roll
Industries,
Inc.
12,159
22,286
Turning
Point
Brands,
Inc.
1,162,661
24,187
Unilever
NV
1,349,568
464
United
Natural
Foods,
Inc.
a
15,284
2,726
US
Foods
Holding
Corporation
a
103,915
959
Utz
Brands,
Inc.
23,774
1,190
Vector
Group,
Ltd.
16,600
45,741
Wal-Mart
Stores,
Inc.
6,213,000
28
WD-40
Company
8,573
17,424
Wesfarmers,
Ltd.
699,723
9,777
Woolworths,
Ltd.
304,497
Total
51,926,276
Energy
(2.9%)
12,626
Antero
Midstream
Corporation
114,013
21,332
Antero
Resources
Corporation
a
217,586
104
APA
Corporation
1,862
19,075
Archrock,
Inc.
181,022
447
Bonanza
Creek
Energy,
Inc.
a
15,971
493,465
BP
plc
2,004,443
76,656
BP
plc
ADR
1,866,574
12,139
Canadian
Natural
Resources,
Ltd.
375,269
31,310
Centennial
Resource
Development,
Inc.
a
131,502
12,279
Cimarex
Energy
Company
729,250
934
Clean
Energy
Fuels
Corporation
a
12,833
5,459
CNX
Resources
Corporation
a
80,247
39,275
ConocoPhillips
2,080,397
720
CONSOL
Energy,
Inc.
a
6,998
5,873
Continental
Resources,
Inc.
a
151,934
5,625
Core
Laboratories
NV
161,944
58
Delek
US
Holdings,
Inc.
1,263
104,708
Devon
Energy
Corporation
2,287,870
Shares
Common
Stock
(83.5%)
Value
Energy
(2.9%)
-
continued
6,492
Diamondback
Energy,
Inc.
$
477,097
2,366
Dorian
LPG,
Ltd.
a
31,066
77,987
Eni
SPA
960,976
17,997
EnLink
Midstream,
LLC
77,207
63,968
Enterprise
Products
Partners,
LP
1,408,575
72,487
Equinor
ASA
1,414,928
6,976
Exterran
Corporation
a
23,439
17,083
Exxon
Mobil
Corporation
953,744
1,523
Gaztransport
Et
Technigaz
SA
121,342
15,836
Gran
Tierra
Energy,
Inc.
a,c
11,082
51,292
Halliburton
Company
1,100,726
11,981
Helix
Energy
Solutions
Group,
Inc.
a
60,504
5,805
Helmerich
&
Payne,
Inc.
156,503
7,399
HollyFrontier
Corporation
264,736
60,185
John
Wood
Group
plc
a
224,387
15,809
Kinder
Morgan,
Inc.
263,220
3,617
Liberty
Oilfield
Services,
Inc.
a
40,836
24,586
Marathon
Oil
Corporation
262,578
38,353
Marathon
Petroleum
Corporation
2,051,502
782
Nabors
Industries,
Ltd.
a
73,078
34,423
Neste
Oil
Oyj
1,828,065
21,175
Nine
Energy
Service,
Inc.
a
48,702
4,881
Oceaneering
International,
Inc.
a
55,741
14,770
OMV
AG
748,506
17,432
Patterson-UTI
Energy,
Inc.
124,290
16,393
Pioneer
Natural
Resources
Company
2,603,536
3,662
Plains
GP
Holdings,
LP
a
34,423
5,361
ProPetro
Holding
Corporation
a
57,148
1,142
Renewable
Energy
Group,
Inc.
a
75,418
4,577
Ring
Energy,
Inc.
a,c
10,573
127,713
Royal
Dutch
Shell
plc,
Class
A
2,482,621
206,124
Royal
Dutch
Shell
plc,
Class
B
3,794,237
2,353
Suncor
Energy,
Inc.
49,187
11,517
Talos
Energy,
Inc.
a
138,665
2,708
Targa
Resources
Corporation
85,979
26,759
TC
Energy
Corporation
1,226,694
74,516
Tenaris
SA
ADR
1,690,768
76,404
Total
SE
3,561,950
37,148
Transocean,
Ltd.
a
131,875
291
TravelCenters
of
America,
Inc.
a
7,895
6,801
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
163,725
44,784
Woodside
Petroleum,
Ltd.
818,557
Total
40,137,059
Financials
(13.5%)
93
1st
Source
Corporation
4,425
77,857
AB
Industrivarden,
Class
C
a
2,732,302
2,007
AG
Mortgage
Investment
Trust,
Inc.
8,088
227,800
AIA
Group,
Ltd.
2,787,536
4,287
Air
Lease
Corporation
210,063
1,205
Alleghany
Corporation
a
754,679
30,741
Allianz
SE
7,819,159
8,146
American
Equity
Investment
Life
Holding
Company
256,843
27,222
American
Express
Company
3,850,280
8,605
American
Financial
Group,
Inc.
981,830
159
American
National
Group,
Inc.
17,151
1,020
Ameriprise
Financial,
Inc.
237,099
9,660
Ameris
Bancorp
507,247
10,682
Apollo
Commercial
Real
Estate
Finance,
Inc.
149,228
11,338
Arch
Capital
Group,
Ltd.
a
435,039
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
84
Shares
Common
Stock
(83.5%)
Value
Financials
(13.5%)
-
continued
1,210
Argo
Group
International
Holdings,
Ltd.
$
60,887
5,439
Arthur
J.
Gallagher
&
Company
678,624
3,653
Artisan
Partners
Asset
Management,
Inc.
190,577
22,737
Associated
Banc-Corp
485,208
4,182
Assured
Guaranty,
Ltd.
176,815
11,684
ASX,
Ltd.
632,449
28,972
Australia
and
New
Zealand
Banking
Group,
Ltd.
622,042
17,229
Baloise
Holding
AG
2,929,822
200,783
Banco
Bilbao
Vizcaya
Argentaria
SA
1,046,316
233,833
Banco
Santander
SA
a
797,562
2,177
Bancorp,
Inc.
a
45,107
180,538
Bank
of
America
Corporation
6,985,015
814
Bank
of
Marin
Bancorp
31,876
4,632
BankFinancial
Corporation
47,802
8,805
Banner
Corporation
469,571
18,546
Berkshire
Hills
Bancorp,
Inc.
413,947
1,962
Blackstone
Mortgage
Trust,
Inc.
60,822
72
BM
Technologies,
Inc.
a,d
797
28,360
BNP
Paribas
SA
a
1,727,962
424
BOK
Financial
Corporation
37,872
6,454
Brighthouse
Financial,
Inc.
a
285,589
14,761
BrightSphere
Investment
Group
300,829
8,870
Brookline
Bancorp,
Inc.
133,050
1,769
Brown
&
Brown,
Inc.
80,861
2,409
Byline
Bancorp,
Inc.
50,950
36,862
Capital
One
Financial
Corporation
4,689,952
9,332
Central
Pacific
Financial
Corporation
248,978
103,822
Charles
Schwab
Corporation
6,767,118
15,586
Chimera
Investment
Corporation
197,942
15,076
Chubb,
Ltd.
2,381,556
156,129
CI
Financial
Corporation
2,254,907
3,426
Cincinnati
Financial
Corporation
353,186
40,834
Citigroup,
Inc.
2,970,673
4,355
Citizens
Financial
Group,
Inc.
192,273
5,623
CNO
Financial
Group,
Inc.
136,583
4,926
CNP
Assurances
93,431
26,978
Comerica,
Inc.
1,935,402
721
Commerce
Bancshares,
Inc.
55,236
62,259
Commonwealth
Bank
of
Australia
4,085,107
7,408
Community
Trust
Bancorp,
Inc.
326,174
900
Cowen,
Inc.
31,635
840
Cullen/Frost
Bankers,
Inc.
91,358
2,594
Customers
Bancorp,
Inc.
a
82,541
182,000
DBS
Group
Holdings,
Ltd.
3,902,333
12,294
Deutsche
Boerse
AG
2,042,888
24,618
Deutsche
Pfandbriefbank
AG
a,b
286,761
221
Diamond
Hill
Investment
Group,
Inc.
34,478
1,103
Dime
Community
Bancshares,
Inc.
33,244
22,673
Discover
Financial
Services
2,153,708
181,859
DnB
ASA
3,877,767
3,907
East
West
Bancorp,
Inc.
288,337
350
Employers
Holdings,
Inc.
15,071
740
Encore
Capital
Group,
Inc.
a
29,770
1,832
Enova
International,
Inc.
a
64,999
180
Enstar
Group,
Ltd.
a
44,411
1,450
Enterprise
Financial
Services
Corporation
71,688
58,472
Equitable
Holdings,
Inc.
1,907,357
4,201
Essent
Group,
Ltd.
199,505
32,997
Euronext
NV
b
3,321,150
Shares
Common
Stock
(83.5%)
Value
Financials
(13.5%)
-
continued
71,817
Everi
Holdings,
Inc.
a
$
1,013,338
20,775
F.N.B.
Corporation
263,842
987
FactSet
Research
Systems,
Inc.
304,578
481
Federal
Agricultural
Mortgage
Corporation
48,446
5,580
Financial
Institutions,
Inc.
169,018
752
First
American
Financial
Corporation
42,601
10,087
First
Bancorp/Puerto
Rico
113,580
8,532
First
Busey
Corporation
218,846
15,591
First
Financial
Bancorp
374,184
3,925
First
Financial
Corporation
176,664
4,501
First
Horizon
Corporation
76,112
11,935
First
Midwest
Bancorp,
Inc.
261,496
747
First
of
Long
Island
Corporation
15,874
14,967
First
Republic
Bank
2,495,747
11,804
Flagstar
Bancorp,
Inc.
532,360
1,109
Flushing
Financial
Corporation
23,544
43,108
Fulton
Financial
Corporation
734,129
4,102
Goldman
Sachs
Group,
Inc.
1,341,354
11,528
Granite
Point
Mortgage
Trust,
Inc.
137,990
6,995
Great
Southern
Bancorp,
Inc.
396,407
7,883
Great
Western
Bancorp,
Inc.
238,776
13,085
Groupe
Bruxelles
Lambert
SA
1,353,596
6,535
Hamilton
Lane,
Inc.
578,740
20,909
Hancock
Whitney
Corporation
878,387
5,505
Hanmi
Financial
Corporation
108,614
5,874
Hanover
Insurance
Group,
Inc.
760,448
1,240
Heartland
Financial
USA,
Inc.
62,322
11,455
Heritage
Commerce
Corporation
139,980
969
Hilltop
Holdings,
Inc.
33,072
275
HomeStreet,
Inc.
12,119
5,458
Hometrust
Bancshares,
Inc.
132,902
6,100
Hong
Kong
Exchanges
&
Clearing,
Ltd.
361,888
38,178
Hope
Bancorp,
Inc.
574,961
8,231
Horizon
Bancorp,
Inc.
152,932
186,110
HSBC
Holdings
plc
1,084,780
161,282
Humm
Group,
Ltd.
a
118,302
8,070
Independent
Bank
Corporation
190,775
90,756
ING
Groep
NV
1,108,506
1,434
Intact
Financial
Corporation
175,727
27,677
Intermediate
Capital
Group
plc
702,705
14,378
Invesco
Mortgage
Capital.
Inc.
57,656
19,605
Invesco,
Ltd.
494,438
50,852
J.P.
Morgan
Chase
&
Company
7,741,200
123,200
Japan
Post
Bank
Company,
Ltd.
1,184,724
8,200
Japan
Post
Holdings
Company,
Ltd.
73,080
3,789
Jefferies
Financial
Group,
Inc.
114,049
3,135
KBC
Groep
NV
228,108
10,348
Kinnevik
AB
502,934
7,338
Kinsale
Capital
Group,
Inc.
1,209,302
4,623
L
E
Lundbergforetagen
AB
a
252,484
7,528
Ladder
Capital
Corporation
88,830
1,818
Lakeland
Bancorp,
Inc.
31,688
50,078
Laurentian
Bank
of
Canada
c
1,595,148
6,165
Lincoln
National
Corporation
383,895
2,711
Loews
Corporation
139,020
10,990
Marsh
&
McLennan
Companies,
Inc.
1,338,582
99,380
Mediobanca
SPA
a
1,101,259
2,485
Mercantile
Bank
Corporation
80,688
41,173
MFA
Financial,
Inc.
167,574
3,524
Midland
States
Bancorp,
Inc.
97,756
6,571
MidWestOne
Financial
Group,
Inc.
203,504
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
85
Shares
Common
Stock
(83.5%)
Value
Financials
(13.5%)
-
continued
259,500
Mitsubishi
UFJ
Financial
Group,
Inc.
$
1,387,622
105,600
Mitsubishi
UFJ
Lease
&
Finance
Company,
Ltd.
638,346
20,269
Mizrahi
Tefahot
Bank,
Ltd.
a
528,529
58,993
Morgan
Stanley
4,581,396
5,982
Mr.
Cooper
Group,
Inc.
a
207,934
6,300
MS
and
AD
Insurance
Group
Holdings,
Inc.
185,321
2,407
MSCI,
Inc.
1,009,207
38
Nasdaq,
Inc.
5,603
32,776
National
Australia
Bank,
Ltd.
649,374
182
National
Western
Life
Group,
Inc.
45,318
54,840
Natixis
a
262,129
9,680
Navient
Corporation
138,521
433
NBT
Bancorp,
Inc.
17,277
28,461
New
York
Community
Bancorp,
Inc.
359,178
4,007
NMI
Holdings,
Inc.
a
94,725
4,186
Northern
Trust
Corporation
439,990
4,069
OFG
Bancorp
92,041
10,958
Old
National
Bancorp
211,928
4,109
Old
Second
Bancorp,
Inc.
54,280
1,211
OneMain
Holdings,
Inc.
65,055
7,402
Onex
Corporation
460,365
526
Oppenheimer
Holdings,
Inc.
21,066
88,000
ORIX
Corporation
1,488,325
13,380
PacWest
Bancorp
510,447
13,422
Paragon
Banking
Group
plc
84,676
2,214
Partners
Group
Holding
AG
2,829,328
1,536
Peoples
Bancorp,
Inc.
50,949
20,548
Popular,
Inc.
1,444,935
10,980
Premier
Financial
Corporation
365,195
32
Primerica,
Inc.
4,730
2,617
PROG
Holdings,
Inc.
113,290
2,284
Prosperity
Bancshares,
Inc.
171,049
6,731
QCR
Holdings,
Inc.
317,838
17,455
Radian
Group,
Inc.
405,829
26,260
Raymond
James
Financial,
Inc.
3,218,426
16,427
Redwood
Trust,
Inc.
171,005
4,767
Reinsurance
Group
of
America,
Inc.
600,880
1,458
RenaissanceRe
Holdings,
Ltd.
233,645
309
RLI
Corporation
34,475
51,034
Royal
Bank
of
Canada
4,705,427
12,294
S&P
Global,
Inc.
4,338,184
1,143
Safety
Insurance
Group,
Inc.
96,298
10,707
Seacoast
Banking
Corporation
of
Florida
a
388,022
9,227
SEI
Investments
Company
562,201
894
Selective
Insurance
Group,
Inc.
64,851
4,114
Signature
Bank
930,175
2,956
Simmons
First
National
Corporation
87,705
1,180
Southside
Bancshares,
Inc.
45,442
16,425
St.
James's
Place
plc
288,364
7,749
Starwood
Property
Trust,
Inc.
191,710
2,814
Sterling
Bancorp
64,778
909
Stifel
Financial
Corporation
58,231
63,500
Sumitomo
Mitsui
Financial
Group,
Inc.
2,301,704
27,193
Sun
Life
Financial,
Inc.
1,374,256
3,987
Swiss
Life
Holding
AG
1,959,358
3,328
Synovus
Financial
Corporation
152,256
2,383
T.
Rowe
Price
Group,
Inc.
408,923
1,625
Territorial
Bancorp,
Inc.
42,997
Shares
Common
Stock
(83.5%)
Value
Financials
(13.5%)
-
continued
6,983
TMX
Group,
Ltd.
$
725,639
16,400
Tokio
Marine
Holdings,
Inc.
780,494
78
Tompkins
Financial
Corporation
6,451
375
Topdanmark
AS
17,104
10,825
Torchmark
Corporation
1,046,020
55,509
Toronto-Dominion
Bank
3,620,210
2,163
Towne
Bank
65,755
10,751
TPG
RE
Finance
Trust,
Inc.
120,411
3,369
TriCo
Bancshares
159,590
47,778
Truist
Financial
Corporation
2,786,413
11,644
TrustCo
Bank
Corporation
85,816
3,292
Trustmark
Corporation
110,809
16,812
Two
Harbors
Investment
Corporation
123,232
41,653
Umpqua
Holdings
Corporation
731,010
7,524
United
Bankshares,
Inc.
290,276
920
Univest
Financial
Corporation
26,303
18,404
Unum
Group
512,183
14,886
Valley
National
Bancorp
204,534
44,174
Virgin
Money
UK
plc
a
115,929
549
Vontobel
Holding
AG
41,902
3,565
Voya
Financial,
Inc.
226,877
244
Walker
&
Dunlop,
Inc.
25,069
2,004
Washington
Trust
Bancorp,
Inc.
103,467
844
Webster
Financial
Corporation
46,513
142,395
Wells
Fargo
&
Company
5,563,373
3,702
WesBanco,
Inc.
133,494
198
Westamerica
Bancorporation
12,430
20,972
Western
Alliance
Bancorp
1,980,596
12,380
Western
Asset
Mortgage
Capital
Corporation
39,492
79,599
Westpac
Banking
Corporation
1,476,477
214
Westwood
Holdings
Group,
Inc.
3,094
8,266
Wintrust
Financial
Corporation
626,563
37,715
Zions
Bancorporations
NA
2,072,816
6,320
Zurich
Insurance
Group
AG
2,690,118
Total
186,937,970
Health
Care
(10.6%)
10,992
AbbVie,
Inc.
1,189,554
40,296
ACADIA
Pharmaceuticals,
Inc.
a
1,039,637
458
Acceleron
Pharma,
Inc.
a
62,109
20,324
Adaptive
Biotechnologies
Corporation
a
818,244
1,599
ADMA
Biologics,
Inc.
a
2,814
2,816
Adverum
Biotechnologies,
Inc.
a
27,766
249
Allakos,
Inc.
a
28,580
1,720
Altimmune,
Inc.
a
24,304
13,041
Amgen,
Inc.
3,244,731
13,896
Amplifon
SPA
a
517,081
796
AnaptysBio,
Inc.
a
17,154
10,403
Anthem,
Inc.
3,734,157
68,914
Ardelyx,
Inc.
a
456,211
3,011
Arena
Pharmaceuticals,
Inc.
a
208,933
4,196
Argenx
SE
ADR
a
1,155,536
2,860
Arrowhead
Research
Corporation
a
189,647
7,864
Ascendis
Pharma
AS
ADR
a
1,013,512
85,300
Astellas
Pharmaceutical,
Inc.
1,313,987
1,902
Atara
Biotherapeutics,
Inc.
a
27,313
88
Atrion
Corporation
56,435
14,615
Axonics
Modulation
Technologies,
Inc.
a
875,292
3,780
Becton,
Dickinson
and
Company
919,107
6,592
Biogen,
Inc.
a
1,844,112
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
86
Shares
Common
Stock
(83.5%)
Value
Health
Care
(10.6%)
-
continued
10,291
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
$
703,390
210
Bio-Rad
Laboratories,
Inc.
a
119,946
4,556
Bio-Techne
Corporation
1,740,073
885
BioXcel
Therapeutics,
Inc.
a,c
38,197
687
Bruker
Corporation
44,160
6,135
Catalent,
Inc.
a
646,077
27,231
Centene
Corporation
a
1,740,333
38,561
Cerner
Corporation
2,771,765
2,590
Charles
River
Laboratories
International,
Inc.
a
750,660
664
Chemed
Corporation
305,320
52,300
Chugai
Pharmaceutical
Company,
Ltd.
2,125,150
14,956
Cigna
Holding
Company
3,615,463
281
Co-Diagnostics,
Inc.
a,c
2,681
142
Cooper
Companies,
Inc.
54,541
3,597
CryoLife,
Inc.
a
81,220
22,605
CSL,
Ltd.
4,568,555
26,640
CVS
Health
Corporation
2,004,127
1,488
CytomX
Therapeutics,
Inc.
a
11,502
59,700
Daiichi
Sankyo
Company,
Ltd.
1,741,794
4,977
Dechra
Pharmaceuticals
plc
235,343
10,970
Dexcom,
Inc.
a
3,942,508
1,490
Editas
Medicine,
Inc.
a,c
62,580
33,422
Edwards
Lifesciences
Corporation
a
2,795,416
3,321
Envista
Holdings
Corporation
a
135,497
557
Eurofins
Scientific
SE
a
53,238
58
Fate
Therapeutics,
Inc.
a
4,782
2,294
Genus
plc
153,617
989
Gerresheimer
AG
98,225
38,521
GlaxoSmithKline
plc
ADR
c
1,374,815
2,227
Global
Blood
Therapeutics,
Inc.
a
90,750
20,807
GoodRx
Holdings,
Inc.
a,c
811,889
15,586
Guardant
Health,
Inc.
a
2,379,203
1,510
Haemonetics
Corporation
a
167,625
14,437
HCA
Healthcare,
Inc.
2,719,065
2,082
HealthEquity,
Inc.
a
141,576
4,028
Hill-Rom
Holdings,
Inc.
445,013
7,698
Humana,
Inc.
3,227,387
22
ICU
Medical,
Inc.
a
4,520
13,648
Immunocore
Holdings
plc
ADR
a
580,995
2,476
ImmunoGen,
Inc.
a
20,056
5,477
Inspire
Medical
Systems,
Inc.
a
1,133,684
5,528
Insulet
Corporation
a
1,442,366
1,187
Integra
LifeSciences
Holdings
Corporation
a
82,010
5,084
Intuitive
Surgical,
Inc.
a
3,756,771
3,077
Invitae
Corporation
a,c
117,572
6,085
Ionis
Pharmaceuticals,
Inc.
a
273,582
2,057
iRhythm
Technologies,
Inc.
a
285,635
36,042
Johnson
&
Johnson
5,923,503
1,928
Kura
Oncology,
Inc.
a
54,505
1,060
Laboratory
Corporation
of
America
Holdings
a
270,332
1,357
Lannett
Company,
Inc.
a
7,165
15,016
LHC
Group,
Inc.
a
2,871,209
2,275
LNA
Sante
122,208
2,130
Lonza
Group
AG
1,191,308
25,200
M3,
Inc.
1,729,931
42,607
Medtronic
plc
5,033,165
68,067
Merck
&
Company,
Inc.
5,247,285
6,075
Merck
KGaA
1,039,157
186
Mirati
Therapeutics,
Inc.
a
31,862
3,086
Molina
Healthcare,
Inc.
a
721,383
Shares
Common
Stock
(83.5%)
Value
Health
Care
(10.6%)
-
continued
11,976
Natera,
Inc.
a
$
1,216,043
3,893
National
Healthcare
Corporation
303,304
1,183
Neogen
Corporation
a
105,157
12,042
Nevro
Corporation
a
1,679,859
101,063
Novartis
AG
8,638,938
85,871
Novo
Nordisk
AS
5,786,300
30,712
Novo
Nordisk
AS
ADR
2,070,603
3,140
NuVasive,
Inc.
a
205,858
1,594
Olink
Holding
AB
ADR
a
57,384
1,467
Omnicell,
Inc.
a
190,519
12,621
OPKO
Health,
Inc.
a
54,144
694
Orthifix
Medical,
Inc.
a
30,085
619
Owens
&
Minor,
Inc.
23,268
1,063
Precigen,
Inc.
a,c
7,324
3,405
Premier,
Inc.
115,259
10,210
Pulmonx
Corporation
a
467,005
1,108
Reata
Pharmaceuticals,
Inc.
a
110,468
44,622
Recordati
SPA
2,399,756
4,194
Repligen
Corporation
a
815,356
328
Replimune
Group,
Inc.
a
10,007
2,224
Roche
Holding
AG
720,450
854
Sage
Therapeutics,
Inc.
a
63,922
2,308
Sarepta
Therapeutics,
Inc.
a
172,015
477
Sartorius
Aktiengesellschaft
237,813
342
Sartorius
Stedim
Biotech
140,750
6,500
Sawai
Pharmaceutical
Company,
Ltd.
d
312,957
242
Seres
Therapeutics,
Inc.
a
4,983
16,147
Silk
Road
Medical,
Inc.
a
817,846
4,854
Sonic
Healthcare,
Ltd.
129,803
9,312
Sonova
Holding
AG
a
2,468,380
10,221
Stryker
Corporation
2,489,631
227
Surmodics,
Inc.
a
12,728
1,300
Sysmex
Corporation
140,327
13,150
Tactile
Systems
Technology,
Inc.
a
716,544
36,100
Takeda
Pharmaceutical
Company,
Ltd.
1,315,923
4,318
Tecan
Group
AG
1,915,637
12,064
Teladoc
Health,
Inc.
a
2,192,632
3,754
Teleflex,
Inc.
1,559,637
1,738
Tenet
Healthcare
Corporation
a
90,376
7,600
Terumo
Corporation
275,031
8,687
Thermo
Fisher
Scientific,
Inc.
3,964,573
10,621
Travere
Therapeutics,
Inc.
a
265,206
692
U.S.
Physical
Therapy,
Inc.
72,037
807
United
Therapeutics
Corporation
a
134,987
2,548
Vaxart,
Inc.
a,c
15,415
13,587
VBI
Vaccines,
Inc.
a,c
42,256
16,150
Veeva
Systems,
Inc.
a
4,219,026
27,091
Viatris,
Inc.
a
378,461
1,540
ViewRay,
Inc.
a
6,699
582
Vocera
Communications,
Inc.
a
22,384
10,931
Vor
BioPharma,
Inc.
a
471,126
446
Waters
Corporation
a
126,740
6,453
Zimmer
Biomet
Holdings,
Inc.
1,032,996
24,126
Zoetis,
Inc.
3,799,362
14,243
Zymeworks,
Inc.
a
449,794
Total
147,674,987
Industrials
(10.9%)
326
A.P.
Moller
-
Maersk
AS,
Class
B
756,815
28,323
Aalberts
NV
1,432,401
5,075
AECOM
a
325,358
10,258
AerCap
Holdings
NV
a
602,555
560
Allegion
plc
70,347
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
87
Shares
Common
Stock
(83.5%)
Value
Industrials
(10.9%)
-
continued
18,223
Altra
Industrial
Motion
Corporation
$
1,008,096
1,150
Apogee
Enterprises,
Inc.
47,012
1,179
Armstrong
World
Industries,
Inc.
106,216
18,330
ASGN,
Inc.
a
1,749,415
29,699
Assa
Abloy
AB
854,749
84,127
Atlas
Copco
AB,
Class
A
5,128,992
25,040
Atlas
Copco
AB,
Class
B
1,305,021
10,119
AZZ,
Inc.
509,492
4,748
Bloom
Energy
Corporation
a
128,433
4,310
Boeing
Company
a
1,097,843
31,828
Canadian
National
Railway
Company
3,693,639
7,438
Canadian
Pacific
Railway,
Ltd.
2,840,964
15,325
Carlisle
Companies,
Inc.
2,522,188
12,866
CBIZ,
Inc.
a
420,204
14,688
Chart
Industries,
Inc.
a
2,090,837
11,154
CIA
De
Distribucion
Integral
221,316
1,667
CRA
International,
Inc.
124,425
10,242
Crane
Company
961,826
4,373
Credit
Corporation
Group,
Ltd.
109,315
6,144
CSW
Industrials,
Inc.
829,440
17,795
CSX
Corporation
1,715,794
7,585
Curtiss-Wright
Corporation
899,581
4,800
Daikin
Industries,
Ltd.
970,362
61,462
Delta
Air
Lines,
Inc.
a
2,967,385
10,606
Deutsche
Post
AG
581,856
574
Diamond
S
Shipping,
Inc.
a
5,757
1,120
Douglas
Dynamics,
Inc.
51,688
3,958
DSV
AS
776,337
595
Dycom
Industries,
Inc.
a
55,246
5,516
EMCOR
Group,
Inc.
618,675
1,293
Expeditors
International
of
Washington,
Inc.
139,243
52,779
Experian
plc
1,818,298
1,400
FANUC
Corporation
336,570
8,986
Forrester
Research,
Inc.
a
381,725
6,686
Forward
Air
Corporation
593,784
2,071
GATX
Corporation
192,065
4,074
Generac
Holdings,
Inc.
a
1,334,031
16,214
General
Dynamics
Corporation
2,943,814
3,628
Gorman-Rupp
Company
120,123
1,599
Greenbrier
Companies,
Inc.
75,505
180,112
GWA
Group,
Ltd.
392,024
8,000
Hanwa
Company,
Ltd.
246,165
13,631
Honeywell
International,
Inc.
2,958,881
52,167
Howmet
Aerospace,
Inc.
a
1,676,126
5,869
Hubbell,
Inc.
1,096,857
844
ICF
International,
Inc.
73,766
5,146
IDEX
Corporation
1,077,161
39,100
Inaba
Denki
Sangyo
Company,
Ltd.
944,963
122
Insperity,
Inc.
10,216
911
International
Seaways,
Inc.
17,655
231
JB
Hunt
Transport
Services,
Inc.
38,824
6,719
Jet2
plc
a
117,453
5,990
JetBlue
Airways
Corporation
a
121,837
315
John
Bean
Technologies
Corporation
42,002
73,458
Johnson
Controls
International
plc
4,383,239
32,900
Kamigumi
Company,
Ltd.
624,142
10,382
Kansas
City
Southern
2,740,017
513
Kimball
International,
Inc.
7,182
42,000
Kinden
Corporation
716,163
8,846
KONE
Oyj
723,041
16,543
L3Harris
Technologies,
Inc.
3,352,935
Shares
Common
Stock
(83.5%)
Value
Industrials
(10.9%)
-
continued
5,640
Landstar
System,
Inc.
$
930,938
57,955
Legrand
SA
5,390,910
915
Lennox
International,
Inc.
285,105
15,239
Lincoln
Electric
Holdings,
Inc.
1,873,483
8,298
Lockheed
Martin
Corporation
3,066,111
3,334
Manpower,
Inc.
329,733
85,900
Marubeni
Corporation
717,443
968
Masonite
International
Corporation
a
111,552
18,212
Mercury
Systems,
Inc.
a
1,286,678
36,781
Meritor,
Inc.
a
1,082,097
3,321
Mesa
Air
Group,
Inc.
a
44,667
13,339
Middleby
Corporation
a
2,210,939
6,000
MISUMI
Group,
Inc.
174,777
84,600
Mitsubishi
Corporation
2,398,330
65,800
Mitsubishi
Electric
Corporation
1,005,625
14,000
Mitsuboshi
Belting,
Ltd.
225,640
129,700
Mitsui
&
Company,
Ltd.
2,706,884
5,353
MSC
Industrial
Direct
Company,
Inc.
482,787
19,400
Nidec
Corporation
2,365,400
1,800
Nihon
M&A
Center,
Inc.
48,822
23,300
Nitto
Kogyo
Corporation
427,784
27,302
Nobina
AB
a,b
228,993
563
Nordson
Corporation
111,857
12,218
Norfolk
Southern
Corporation
3,280,777
3,528
Old
Dominion
Freight
Line,
Inc.
848,166
15,828
Otis
Worldwide
Corporation
1,083,427
93,351
PageGroup
plc
a
605,600
9,711
Parker-Hannifin
Corporation
3,063,141
23,077
Pitney
Bowes,
Inc.
190,154
1,541
Primoris
Services
Corporation
51,053
2,886
Quad/Graphics,
Inc.
a
10,188
13,745
Ranpak
Holdings
Corporation
a
275,725
29,301
Raytheon
Technologies
Corporation
2,264,088
3,420
RBC
Bearings,
Inc.
a
672,953
42,500
Recruit
Holdings
Company,
Ltd.
2,087,014
23,378
Redde
Northgate
plc
99,319
21,951
Regal-Beloit
Corporation
3,131,969
179,123
RELX
plc
4,492,570
17,663
Ritchie
Brothers
Auctioneers,
Inc.
1,034,169
18,658
Rush
Enterprises,
Inc.
929,728
1,878
Ryder
System,
Inc.
142,071
3,065
Saia,
Inc.
a
706,728
1,900
Sankyu
Inc.
83,599
47,242
Schneider
Electric
SE
7,196,644
70,968
SEEK,
Ltd.
a
1,546,875
153
SGS
SA
434,734
2,200
SHO-BOND
Holdings
Company,
Ltd.
94,959
8,849
Signify
NV
a,b
455,134
6,036
Simpson
Manufacturing
Company,
Inc.
626,114
36,000
SITC
International
Holdings
Company,
Ltd.
122,519
101
Sixt
SE
a
13,355
2,128
SkyWest,
Inc.
a
115,933
12,861
Smith
&
Wesson
Brands,
Inc.
224,424
1,124
Snap-On,
Inc.
259,352
206,800
Sojitz
Corporation
584,311
8,240
Spirax-Sarco
Engineering
plc
1,294,660
1,852
Spirit
Airlines,
Inc.
a,c
68,339
10,430
Standex
International
Corporation
996,795
969
Sterling
Construction
Company,
Inc.
a
22,481
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
88
Shares
Common
Stock
(83.5%)
Value
Industrials
(10.9%)
-
continued
83,600
Sumitomo
Corporation
$
1,196,454
37,994
Summit
Materials,
Inc.
a
1,064,592
14,926
Sun
Country
Airlines
Holdings,
Inc.
a,c
511,663
365
Sunrun,
Inc.
a
22,075
2,500
Taikisha,
Ltd.
68,621
6,800
Taisei
Corporation
262,353
2,144
Technip
Energies
N.V.
ADR
a
32,096
801
Teledyne
Technologies,
Inc.
a
331,334
1,071
Tetra
Tech,
Inc.
145,356
1,110
Thermon
Group
Holdings,
Inc.
a
21,634
14,200
Toppan
Forms
Company,
Ltd.
143,631
41
Toro
Company
4,229
336
Trane
Technologies
plc
55,628
15,844
TransUnion
1,425,960
71,998
Transurban
Group
a
731,947
7,557
Trex
Company,
Inc.
a
691,768
10,616
TriMas
Corporation
a
321,877
14,800
Tsubakimoto
Chain
Company
408,389
4,679
Tutor
Perini
Corporation
a
88,667
633
UniFirst
Corporation
141,608
16,629
United
Parcel
Service,
Inc.
2,826,764
13,200
United
Rentals,
Inc.
a
4,346,892
3,521
Valmont
Industries,
Inc.
836,836
1,819
Waste
Connections,
Inc.
196,416
2,306
Watsco,
Inc.
601,289
307
Watts
Water
Technologies,
Inc.
36,475
1,222
Welbilt,
Inc.
a
19,858
3,868
Werner
Enterprises,
Inc.
182,454
10,337
Willdan
Group,
Inc.
a
424,334
1,656
Woodward,
Inc.
199,763
4,005
XPO
Logistics,
Inc.
a
493,817
1,815
Xylem,
Inc.
190,902
9,700
Yuasa
Trading
Company,
Ltd.
274,146
Total
151,790,838
Information
Technology
(16.5%)
1,205
3D
Systems
Corporation
a,c
33,065
17,939
Adobe,
Inc.
a
8,527,662
91
ADTRAN,
Inc.
1,518
4,800
Advantest
Corporation
421,595
2,607
Alliance
Data
Systems
Corporation
292,219
1,040
Ambarella,
Inc.
a
104,406
10,398
Amphenol
Corporation
685,956
18,494
AMS
AG
a
368,229
36,010
Anaplan,
Inc.
a
1,939,138
165,788
Apple,
Inc.
20,251,004
13,707
ASML
Holding
NV
8,410,224
1,648
Aspen
Technology,
Inc.
a
237,856
3,628
Atlassian
Corporation
plc
a
764,637
7,820
Avalara,
Inc.
a
1,043,423
16,599
Bandwidth,
Inc.
a,c
2,103,757
800
Bechtle
AG
150,077
2,920
Belden,
Inc.
129,560
5,810
Benchmark
Electronics,
Inc.
179,645
27,402
BigCommerce
Holdings,
Inc.
a,c
1,583,836
1,144
Bill.com
Holdings,
Inc.
a
166,452
4,167
Blackline,
Inc.
a,c
451,703
206
CACI
International,
Inc.
a
50,812
9,799
Calix,
Inc.
a
339,633
26,900
Canon,
Inc.
611,545
416
Capgemini
SA
70,731
5,063
CDK
Global,
Inc.
273,706
2,348
CDW
Corporation
389,181
914
Ceridian
HCM
Holding,
Inc.
a
77,023
Shares
Common
Stock
(83.5%)
Value
Information
Technology
(16.5%)
-
continued
64,689
CGI,
Inc.
a
$
5,388,434
138,079
Cisco
Systems,
Inc.
7,140,065
5,788
Cognex
Corporation
480,346
1,487
CompuGroup
Medical
SE
and
Company
KGaA
125,679
88,052
Computershare,
Ltd.
1,010,350
10,005
Computershare,
Ltd.,
Rights
a
11,551
349
Concentrix
Corporation
a
52,252
89
Constellation
Software,
Inc.
124,293
3,911
Coupa
Software,
Inc.
a
995,271
3,323
Cree,
Inc.
a
359,316
1,793
CTS
Corporation
55,691
9,259
Descartes
Systems
Group,
Inc.
a
563,966
3,044
Diebold
Nixdorf,
Inc.
a
43,012
5,298
DocuSign,
Inc.
a
1,072,580
18,195
Dolby
Laboratories,
Inc.
1,796,210
21
Domo,
Inc.
a
1,182
1,193
DSP
Group,
Inc.
a
17,000
18,811
Elastic
NV
a
2,091,783
10,647
Endava
plc
ADR
a
901,694
1,370
Enphase
Energy,
Inc.
a
222,159
1,992
EPAM
Systems,
Inc.
a
790,206
2,806
ePlus,
Inc.
a
279,590
11,543
Euronet
Worldwide,
Inc.
a
1,596,397
1,106
ExlService
Holdings,
Inc.
a
99,717
3,487
eXp
World
Holdings,
Inc.
a,c
158,833
2,273
F5
Networks,
Inc.
a
474,193
3,406
First
Solar,
Inc.
a
297,344
7,800
Five9,
Inc.
a
1,219,374
19,700
Fuji
Soft,
Inc.
1,022,694
7,328
Global
Payments,
Inc.
1,477,178
157,166
Halma
plc
5,141,977
9,647
Health
Catalyst,
Inc.
a,c
451,190
11,200
Hoya
Corporation
1,318,205
17,101
Infineon
Technologies
AG
727,609
81
IPG
Photonics
Corporation
a
17,086
13,200
ITOCHU
Techno-Solutions
Corporation
426,556
4,297
Jack
Henry
&
Associates,
Inc.
651,941
7,200
Keyence
Corporation
3,281,445
1,896
Kinaxis,
Inc.
a
221,268
1,052
Lam
Research
Corporation
626,192
2,900
Lasertec
Corporation
382,978
16,245
Lattice
Semiconductor
Corporation
a
731,350
23
Littelfuse,
Inc.
6,082
12,378
LivePerson,
Inc.
a
652,816
16,478
Lumentum
Holdings,
Inc.
a
1,505,265
1,479
Manhattan
Associates,
Inc.
a
173,605
28,623
Mastercard,
Inc.
10,191,219
1,531
MAXIMUS,
Inc.
136,320
333
MaxLinear,
Inc.
a
11,349
56,027
Medallia,
Inc.
a,c
1,562,593
115,201
Microsoft
Corporation
27,160,940
37
MicroStrategy,
Inc.
a
25,116
11,958
MKS
Instruments,
Inc.
2,217,252
8,417
Monolithic
Power
Systems,
Inc.
2,972,969
1,109
Motorola
Solutions,
Inc.
208,547
3,700
Murata
Manufacturing
Company,
Ltd.
297,833
36,900
NEC
Networks
&
System
Integration
Corporation
650,972
212
NetApp,
Inc.
15,406
2,875
Nice,
Ltd.
ADR
a
626,664
3,814
Nova
Measuring
Instruments,
Ltd.
a
347,112
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
89
Shares
Common
Stock
(83.5%)
Value
Information
Technology
(16.5%)
-
continued
3,150
Novanta,
Inc.
a
$
415,454
14,969
NVIDIA
Corporation
7,992,398
1,500
OBIC
Company,
Ltd.
275,237
3,712
Okta,
Inc.
a
818,236
30,702
Oracle
Corporation
2,154,359
8,200
Oracle
Corporation
Japan
802,742
5,400
OUTSOURCING
Inc.
87,627
3,769
Palo
Alto
Networks,
Inc.
a
1,213,844
3,337
Paychex,
Inc.
327,093
1,748
Paylocity
Holding
Corporation
a
314,343
53,431
PayPal
Holdings,
Inc.
a
12,975,184
4,914
Plantronics,
Inc.
a
191,204
566
Progress
Software
Corporation
24,938
6,129
Q2
Holdings,
Inc.
a
614,126
3,338
QAD,
Inc.
222,244
3,790
Qorvo,
Inc.
a
692,433
56,527
QUALCOMM,
Inc.
7,494,915
102,000
Renesas
Electronics
Corporation
a
1,116,779
4,061
Rogers
Corporation
a
764,321
400
Rohm
Company,
Ltd.
39,230
8,200
Ryoyo
Electro
Corporation
c
198,149
11,771
SailPoint
Technologies
Holdings,
Inc.
a
596,083
32,839
Salesforce.com,
Inc.
a
6,957,599
2,567
Samsung
Electronics
Company,
Ltd.
GDR
4,680,109
3,649
SAP
SE
447,576
2,887
ScanSource,
Inc.
a
86,466
5,337
Semtech
Corporation
a
368,253
11,980
ServiceNow,
Inc.
a
5,991,318
3,621
Shopify
Inc.
a
4,006,637
28,158
Sierra
Wireless,
Inc.
a,c
415,894
1,394
Silicon
Laboratories,
Inc.
a
196,652
2,415
SiTime
Corporation
a
238,119
480
Solaredge
Technology,
Ltd.
a
137,971
10,750
Sprout
Social,
Inc.
a
620,920
34,935
Square,
Inc.
a
7,931,992
27,914
STMicroelectronics
NV
ADR
c
1,069,944
775
SunPower
Corporation
a,c
25,924
1,675
SYNNEX
Corporation
192,357
17,685
Texas
Instruments,
Inc.
3,342,288
26,742
Thomson
Reuters
Corporation
2,342,665
5,500
Tokyo
Electron,
Ltd.
2,390,485
621
Trade
Desk,
Inc.
a
404,681
1,100
Trend
Micro,
Inc.
55,218
216
Tyler
Technologies,
Inc.
a
91,698
1,619
Unisys
Corporation
a
41,155
1,007
ViaSat,
Inc.
a,c
48,406
6,516
VMware,
Inc.
a,c
980,332
452
Western
Union
Company
11,146
2,118
Wix.com,
Ltd.
a
591,388
8,847
Workiva,
Inc.
a
780,836
15,782
Xero,
Ltd.
a
1,527,474
5,441
Xerox
Holdings
Corporation
132,053
4,279
Zscaler,
Inc.
a
734,576
Total
228,439,881
Materials
(3.6%)
900
AdvanSix,
Inc.
a
24,138
21,352
Air
Liquide
SA
3,486,281
30,300
Air
Water,
Inc.
531,570
5,355
Allegheny
Technologies,
Inc.
a
112,776
3,535
AptarGroup,
Inc.
500,803
1,438
Avery
Dennison
Corporation
264,089
68,569
Axalta
Coating
Systems,
Ltd.
a
2,028,271
Shares
Common
Stock
(83.5%)
Value
Materials
(3.6%)
-
continued
166
Balchem
Corporation
$
20,818
44,434
BHP
Group,
Ltd.
1,541,388
2,713
Cabot
Corporation
142,270
1,346
Celanese
Corporation
201,644
65,077
CF
Industries
Holdings,
Inc.
2,953,194
8,695
Chemours
Company
242,677
6,942
Cleveland-Cliffs,
Inc.
c
139,604
15,779
Coeur
Mining,
Inc.
a
142,484
14,732
Croda
International
plc
1,289,002
1,714
Eagle
Materials,
Inc.
230,379
24,606
Eastman
Chemical
Company
2,709,613
360
EMS-CHEMIE
Holding
AG
321,594
1,774
FMC
Corporation
196,222
97,709
Granges
AB
a
1,270,492
104,890
Hexpol
AB
1,184,462
5,717
Holmen
AB
250,963
2,419
Ingevity
Corporation
a
182,707
11,885
Innospec,
Inc.
1,220,471
7,246
Kaiser
Aluminum
Corporation
800,683
28,373
Koninklijke
DSM
NV
4,796,708
848
Koppers
Holdings,
Inc.
a
29,476
36,000
Kyoei
Steel,
Ltd.
540,299
2,800
Lintec
Corporation
63,419
11,881
LyondellBasell
Industries
NV
1,236,218
6,876
Martin
Marietta
Materials,
Inc.
2,309,098
2,439
Materion
Corporation
161,559
3,571
Minerals
Technologies,
Inc.
268,968
7,796
Myers
Industries,
Inc.
154,049
5,153
Neenah,
Inc.
264,761
102
NewMarket
Corporation
38,776
800
Nissan
Chemical
Industries,
Ltd.
42,802
38,019
Nucor
Corporation
3,051,785
1,248
O-I
Glass,
Inc.
a
18,396
7,531
Olin
Corporation
285,952
1,133
Olympic
Steel,
Inc.
33,367
6,022
Quaker
Chemical
Corporation
1,467,983
232
Reliance
Steel
&
Aluminum
Company
35,331
14,758
Rio
Tinto
plc
1,125,867
17,613
Rio
Tinto,
Ltd.
1,488,599
1,033
RPM
International,
Inc.
94,881
4,581
Ryerson
Holding
Corporation
a
78,060
105,215
Sandfire
Resources,
Ltd.
428,996
449
Scotts
Miracle-Gro
Company
109,992
5,202
Sensient
Technologies
Corporation
405,756
11,000
Shin-Etsu
Chemical
Company,
Ltd.
1,863,404
11,185
Sika
AG
3,198,400
3,619
Steel
Dynamics,
Inc.
183,700
6,462
SunCoke
Energy,
Inc.
45,299
22,975
Symrise
AG
2,787,602
6,900
Taiyo
Holdings
Company,
Ltd.
376,860
31,600
Toagosei
Company,
Ltd.
370,860
5,300
Ube
Industries,
Ltd.
113,076
1,494
United
States
Steel
Corporation
39,098
2,944
Wacker
Chemie
AG
418,846
6,550
Yara
International
ASA
341,219
Total
50,258,057
Real
Estate
(3.0%)
19,002
Agree
Realty
Corporation
1,279,025
37,217
Alstria
Office
REIT
AG
601,479
34,015
American
Campus
Communities,
Inc.
1,468,428
921
Apartment
Income
REIT
Corporation
39,382
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
90
Shares
Common
Stock
(83.5%)
Value
Real
Estate
(3.0%)
-
continued
14,108
Apartment
Investment
&
Management
Company
$
86,623
3,433
Armada
Hoffler
Properties,
Inc.
43,050
577,932
Ascendas
REIT
1,312,837
7,610
AvalonBay
Communities,
Inc.
1,404,121
293
Bluegreen
Vacations
Holding
Corporations
a
5,432
11,120
Camden
Property
Trust
1,222,199
10,102
Canadian
Apartment
Properties
REIT
432,954
14,147
CareTrust
REIT,
Inc.
329,413
29,880
Castellum
AB
659,330
34,406
CBRE
Group,
Inc.
a
2,721,859
2,811
Cedar
Realty
Trust,
Inc.
41,884
952
Centerspace
64,736
6,218
Choice
Properties
REIT
67,093
3,242
Colony
Credit
Real
Estate,
Inc.
27,622
1,806
Community
Healthcare
Trust,
Inc.
83,293
2,204
Corepoint
Lodging,
Inc.
a
19,902
1,459
CoStar
Group,
Inc.
a
1,199,137
1,985
CubeSmart
75,093
41,552
Cushman
and
Wakefield
plc
a
678,129
300
Daito
Trust
Construction
Company,
Ltd.
34,858
7
Daiwa
Office
Investment
Corporation
49,332
7,936
Deutsche
Wohnen
AG
370,203
2,605
Diversified
Healthcare
Trust
12,452
3,016
EastGroup
Properties,
Inc.
432,132
6,657
EPR
Properties
310,150
20,934
Essential
Properties
Realty
Trust,
Inc.
477,923
774
Essex
Property
Trust,
Inc.
210,404
1,618
Extra
Space
Storage,
Inc.
214,466
2,915
Farmland
Partners,
Inc.
32,677
18,407
First
Industrial
Realty
Trust,
Inc.
842,857
4,499
FirstService
Corporation
666,707
1,377
FirstService
Corporation
204,397
15,469
Four
Corners
Property
Trust,
Inc.
423,851
964
Gaming
and
Leisure
Properties,
Inc.
40,903
3,445
Getty
Realty
Corporation
97,562
1,585
Gladstone
Commercial
Corporation
31,003
5,569
Gladstone
Land
Corporation
101,913
1,969
Global
Medical
REIT,
Inc.
25,814
4,540
Healthcare
Realty
Trust,
Inc.
137,653
20,172
Healthcare
Trust
of
America,
Inc.
556,344
628
Highwoods
Properties,
Inc.
26,966
76,259
Host
Hotels
&
Resorts,
Inc.
a
1,284,964
32,000
Hysan
Development
Company,
Ltd.
125,221
7,966
Industrial
Logistics
Properties
Trust
184,254
19,927
Ingenia
Communities
Group
76,897
2,456
Innovative
Industrial
Properties,
Inc.
442,473
327
Invesco
Office
J-Reit,
Inc.
51,649
909
Iron
Mountain,
Inc.
33,642
380
Japan
Hotel
REIT
Investment
Corporation
214,822
72
Japan
Rental
Housing
Investments,
Inc.
70,712
319
Japan
Retail
Fund
Investment
Corporation
326,807
2,496
Jones
Lang
LaSalle,
Inc.
a
446,884
81
Kenedix
Retail
REIT
Corporation
196,993
Shares
Common
Stock
(83.5%)
Value
Real
Estate
(3.0%)
-
continued
18,470
Kilroy
Realty
Corporation
$
1,212,186
5,950
LEG
Immobilien
AG
782,647
3,796
Lexington
Realty
Trust
42,174
5,328
Life
Storage,
Inc.
457,942
14,021
LondonMetric
Property
plc
41,281
23,237
Medical
Properties
Trust,
Inc.
494,483
27,211
MGIC
Investment
Corporation
376,872
137
Mori
Hills
REIT
Investment
Corporation
189,965
591
National
Health
Investors,
Inc.
42,717
12,813
National
Retail
Properties,
Inc.
564,669
24,247
National
Storage
Affiliates
Trust
968,183
25,984
New
Residential
Investment
Corporation
292,320
4,019
New
Senior
Investment
Group,
Inc.
25,038
6,963
NexPoint
Residential
Trust,
Inc.
320,925
42
Nippon
Building
Fund,
Inc.
247,497
20
Nippon
REIT
Investment
Corporation
76,437
5,559
Omega
Healthcare
Investors,
Inc.
203,626
2,375
One
Liberty
Properties,
Inc.
52,891
3,807
Preferred
Apartment
Communities,
Inc.
37,499
21,738
PSP
Swiss
Property
AG
2,648,298
39,673
Quebecor,
Inc.
1,065,144
2,990
Realty
Income
Corporation
189,865
1,880
Redfin
Corporation
a
125,189
24,477
Rexford
Industrial
Realty,
Inc.
1,233,641
377
RMR
Group,
Inc.
15,385
115,000
Road
King
Infrastructure,
Ltd.
150,909
16,934
Sabra
Health
Care
REIT,
Inc.
293,974
2,741
SBA
Communications
Corporation
760,765
38,636
Service
Properties
Trust
458,223
3,038
SL
Green
Realty
Corporation
212,630
6,310
Spirit
Realty
Capital,
Inc.
268,175
8,293
STAG
Industrial,
Inc.
278,728
7,045
Store
Capital
Corporation
236,007
106,658
TAG
Immobilien
AG
3,044,452
162,144
Tritax
Big
Box
REIT
plc
401,238
10,762
UDR,
Inc.
472,021
1,789
UMH
Properties,
Inc.
34,295
100
Universal
Health
Realty
Income
Trust
6,778
704
Vonovia
SE
46,006
198,370
Wing
Tai
Holdings,
Ltd.
283,260
1,756
WP
Carey,
Inc.
124,255
Total
41,397,496
Utilities
(1.3%)
7,546
AES
Corporation
202,308
2,030
ALLETE,
Inc.
136,396
3,717
American
Electric
Power
Company,
Inc.
314,830
855
American
States
Water
Company
64,655
2,850
Artesian
Resources
Corporation
112,233
3,910
Black
Hills
Corporation
261,071
4,647
Boralex,
Inc.
146,136
302
Chesapeake
Utilities
Corporation
35,056
2,000
CLP
Holdings,
Ltd.
19,473
2,531
Consolidated
Water
Company,
Ltd.
34,042
55,837
Contact
Energy,
Ltd.
273,954
1,495
DTE
Energy
Company
199,044
27,720
Duke
Energy
Corporation
2,675,812
48,178
Electricite
de
France
a
646,273
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
91
Shares
Common
Stock
(83.5%)
Value
Utilities
(1.3%)
-
continued
19,950
Enagas
SA
$
434,330
6,105
Encavis
AG
115,715
1,800
Endesa
SA
47,704
365,797
Enel
SPA
3,638,726
16,146
Entergy
Corporation
1,606,043
1,080
Essential
Utilities,
Inc.
48,330
3,271
Evergy,
Inc.
194,723
39,910
Exelon
Corporation
1,745,663
13,815
FirstEnergy
Corporation
479,242
1,766
Hawaiian
Electric
Industries,
Inc.
78,463
21,213
Iberdrola
SA
273,796
865
IDACORP,
Inc.
86,474
2,235
MDU
Resources
Group,
Inc.
70,648
54,057
Meridian
Energy,
Ltd.
203,786
1,097
National
Fuel
Gas
Company
54,839
1,920
New
Jersey
Resources
Corporation
76,550
212
NiSource,
Inc.
5,111
1,021
Northwest
Natural
Holding
Company
55,083
1,450
NorthWestern
Corporation
94,540
15,452
OGE
Energy
Corporation
500,027
8,165
Orsted
AS
b
1,318,365
1,598
Otter
Tail
Corporation
73,780
452
Pinnacle
West
Capital
Corporation
36,770
602
PPL
Corporation
17,362
2,625
Sempra
Energy
348,023
1,825
Southwest
Gas
Holdings,
Inc.
125,396
1,508
Spire,
Inc.
111,426
9,190
UGI
Corporation
376,882
843
Unitil
Corporation
38,517
Total
17,377,597
Total
Common
Stock
(cost
$837,994,334)
1,158,697,468
Shares
Registered
Investment
Companies
(
4.0%
)
Value
Unaffiliated  (0.6%)
1,493
Invesco
QQQ
Trust
Series
1
476,461
17,468
SPDR
S&P
500
ETF
Trust
6,923,093
3,692
SPDR
S&P
Oil
&
Gas
Exploration
ETF
c
300,307
Total
7,699,861
Affiliated  (3.4%)
3,854,779
Thrivent
Core
Emerging
Markets
Equity
Fund
47,298,139
Total
47,298,139
Total
Registered
Investment
Companies
(cost
$44,822,673)
54,998,000
Shares
Collateral
Held
for
Securities
Loaned
(
1.1%
)
Value
15,253,107
Thrivent
Cash
Management
Trust
15,253,107
Total
Collateral
Held
for
Securities
Loaned
(cost
$15,253,107)
15,253,107
Shares
Preferred
Stock
(
<0.1%
)
Value
Consumer
Discretionary
(<0.1%)
1,246
Volkswagen
AG
$
348,782
Total
348,782
Total
Preferred
Stock
(cost
$221,794)
348,782
Shares
or
Principal
Amount
Short-Term
Investments
(
12.6%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
1,900,000
0.083%,
4/7/2021
e,f
1,900,000
700,000
0.085%,
4/8/2021
e,f
700,000
1,100,000
0.080%,
4/14/2021
e,f
1,100,000
2,800,000
0.040%,
5/4/2021
e,f
2,799,974
800,000
0.030%,
5/13/2021
e,f
799,991
5,900,000
0.030%,
5/18/2021
e,f
5,899,923
2,500,000
0.035%,
6/2/2021
e,f
2,499,914
700,000
0.020%,
6/16/2021
e,f
699,970
1,800,000
0.010%,
6/21/2021
e,f
1,799,919
3,600,000
0.000%,
7/7/2021
f
3,599,709
Thrivent
Core
Short-Term
Reserve
Fund
15,276,395
0.180%
152,763,952
Total
Short-Term
Investments
(cost
$174,444,305)
174,563,352
Total
Investments
(cost
$1,072,736,213)
101.2%
$1,403,860,709
Other
Assets
and
Liabilities,
Net
(1.2%)
(16,328,333)
Total
Net
Assets
100.0%
$1,387,532,376
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
March
31,
2021,
the
value
of
these
investments
was
$11,973,482
or
0.9%
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
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.
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
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
14,355,867
Total
lending
$14,355,867
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$15,253,107
Net
amounts
due
to
counterparty
$897,240
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
92
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
March
31,
2021,
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
90,755,655
71,533,041
19,222,614
Consumer
Discretionary
152,001,652
107,371,025
44,630,627
Consumer
Staples
51,926,276
18,051,302
33,874,974
Energy
40,137,059
20,362,172
19,774,887
Financials
186,937,970
107,523,441
79,413,732
797
Health
Care
147,674,987
108,303,328
39,058,702
312,957
Industrials
151,790,838
89,312,810
62,478,028
Information
Technology
228,439,881
184,312,345
44,127,536
Materials
50,258,057
22,425,348
27,832,709
Real
Estate
41,397,496
27,624,778
13,772,718
Utilities
17,377,597
10,259,339
7,118,258
Registered
Investment
Companies
Unaffiliated
7,699,861
7,699,861
Preferred
Stock
Consumer
Discretionary
348,782
348,782
Short-Term
Investments
21,799,400
21,799,400
Subtotal
Investments
in
Securities
$1,188,545,511
$774,778,790
$413,452,967
$313,754
Other
Investments  *
Total
Affiliated
Short-Term
Investments
152,763,952
Affiliated
Registered
Investment
Companies
47,298,139
Collateral
Held
for
Securities
Loaned
15,253,107
Subtotal
Other
Investments
$215,315,198
Total
Investments
at
Value
$1,403,860,709
*
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
8,895,895
8,895,895
Total
Asset
Derivatives
$8,895,895
$8,895,895
$–
$–
Liability
Derivatives
Futures
Contracts
1,049,367
1,049,367
Total
Liability
Derivatives
$1,049,367
$1,049,367
$–
$–
Global
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
93
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
The
following
table
presents
Global
Stock
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$21,665,400
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
805
June
2021
$
157,268,554
$
2,419,296
CME
Euro
Foreign
Exchange
Currency
439
June
2021
65,232,170
(
797,945)
Eurex
Euro
STOXX
50
Index
1,428
June
2021
63,250,234
1,591,111
ICE
mini
MSCI
EAFE
Index
50
June
2021
5,486,607
(
6,607)
ICE
US
mini
MSCI
Emerging
Markets
Index
468
June
2021
31,191,315
(
244,815)
Total
Futures
Long
Contracts
$
322,428,880
$
2,961,040
CME
E-mini
Russell
2000
Index
(789)
June
2021
(
$
92,442,883)
$
4,765,258
ICE
mini
MSCI
EAFE
Index
(123)
June
2021
(
13,601,030)
120,230
Total
Futures
Short
Contracts
(
$
106,043,913)
$4,885,488
Total
Futures
Contracts
$
216,384,967
$7,846,528
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$45,448
$–
$–
$47,298
3,855
3.4%
Total
Affiliated
Registered
Investment
Companies
45,448
47,298
3.4
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
153,894
97,465
98,595
152,764
15,276
11.0
Total
Affiliated
Short-Term
Investments
153,894
152,764
11.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
14,445
51,238
50,430
15,253
15,253
1.1
Total
Collateral
Held
for
Securities
Loaned
14,445
15,253
1.1
Total
Value
$213,787
$215,315
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$–
$1,850
$–
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
69
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$69
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
20
Total
Affiliated
Income
from
Securities
Loaned,
Net
$20
Total
Value
$–
$1,850
$–
Government
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
94
Principal
Amount
Long-Term
Fixed
Income
(
99.3%
)
Value
Asset-Backed
Securities
(7.3%)
Arkansas
Student
Loan
Authority
$
1,375,552
1.088%, 
(LIBOR
3M
+
0.900%),
11/25/2043,
Ser.
2010-1A
a
$
1,376,206
Brazos
Higher
Education
Authority,
Inc.
134,923
1.068%, 
(LIBOR
3M
+
0.850%),
7/25/2029,
Ser.
2011-2,
Class
A2
a
135,314
ECMC
Group
Student
Loan
Trust
1,029,794
1.259%, 
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
a,b
1,040,309
672,362
1.109%, 
(LIBOR
1M
+
1.000%),
1/27/2070,
Ser.
2020-3A,
Class
A1B
a,b
679,860
Goodgreen
1,474,288
3.860%, 
10/15/2054,
Ser.
2019-1A,
Class
A
b
1,547,280
Kentucky
Higher
Education
Student
Loan
Corporation
Student
Loan
Rev.
1,750,000
1.650%, 
3/25/2051,
Ser.
2021-1
1,760,782
Missouri
Higher
Education
Loan
Auth.
1,700,000
1.530%, 
1/25/2061,
Ser.
2021-1
1,640,782
Nationstar
HECM
Loan
Trust
979,098
1.269%, 
9/25/2030,
Ser.
2020-1A,
Class
A1
a,b
980,792
Navient
Student
Loan
Trust
1,700,000
1.310%, 
12/26/2069,
Ser.
2021-1A,
Class
A1A
b
1,664,249
955,221
1.159%, 
(LIBOR
1M
+
1.050%),
6/25/2069,
Ser.
2020-1A,
Class
A1B
a,b
975,130
1,258,214
1.009%, 
(LIBOR
1M
+
0.900%),
8/26/2069,
Ser.
2020-2A,
Class
A1B
a,b
1,276,787
New
Hampshire
Higher
Education
Loan
Corporation
1,038,686
1.309%, 
(LIBOR
1M
+
1.200%),
9/25/2060,
Ser.
2020-1,
Class
A1B
a
1,072,269
Seasoned
Loans
Structured
Transaction
Trust
1,637,578
2.000%, 
9/25/2030,
Ser.
2020-2,
Class
A1C
c
1,675,394
SLM
Student
Loan
Trust
500,436
0.509%, 
(LIBOR
1M
+
0.400%),
3/25/2025,
Ser.
2010-1,
Class
A
a
491,979
Total
16,317,133
Collateralized
Mortgage
Obligations
(12.3%)
Cascade
Funding
Mortgage
Trust
919,293
0.946%, 
12/26/2030,
Ser.
2020-HB4,
Class
A
a,b
919,529
1,694,795
0.801%, 
2/25/2031,
Ser.
2021-HB5,
Class
A
a,b
1,692,522
Principal
Amount
Long-Term
Fixed
Income
(99.3%)
Value
Collateralized
Mortgage
Obligations
(12.3%)
-
continued
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
$
1,600,000
3.000%, 
10/15/2034,
Ser.
4369,
Class
GV
$
1,634,496
444,696
2.000%, 
1/15/2041,
Ser.
4074,
Class
JA
456,201
1,823,701
1.750%, 
6/15/2042,
Ser.
4097,
Class
QN
1,854,409
791,722
1.750%, 
12/15/2042,
Ser.
4141,
Class
KM
800,013
877,857
3.000%, 
5/15/2045,
Ser.
4631,
Class
PA
927,474
869,932
3.000%, 
3/15/2047,
Ser.
4734,
Class
JA
916,152
1,759,735
3.500%, 
8/15/2047,
Ser.
4860,
Class
CA
1,855,627
1,700,000
2.500%, 
12/15/2048,
Ser.
5094,
Class
BC
d
1,701,062
1,613,708
2.000%, 
9/25/2049,
Ser.
4906,
Class
KE
1,650,768
Federal
National
Mortgage
Association
-
REMIC
657,469
2.000%, 
11/25/2032,
Ser.
2012-123,
Class
BA
685,898
694,813
3.000%, 
11/25/2037,
Ser.
2013-88,
Class
EA
699,619
1,100,673
3.000%, 
6/25/2042,
Ser.
2016-24,
Class
LJ
1,132,356
779,480
3.000%, 
1/25/2043,
Ser.
2013-114,
Class
AB
805,900
955,828
3.250%, 
6/25/2043,
Ser.
2013-60,
Class
PT
1,023,533
1,000,534
3.000%, 
3/25/2046,
Ser.
2016-66,
Class
PA
1,026,392
448,887
3.500%, 
12/25/2047,
Ser.
2018-41,
Class
PB
470,197
Finance
of
America
HECM
Buyout
2021-HB1
1,668,881
0.875%, 
2/25/2031,
Ser.
2021-HB1,
Class
A
a,b
1,668,508
GMAC
Mortgage
Corporation
Loan
Trust
24,852
0.609%, 
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
a,c
31,843
Seasoned
Credit
Risk
Transfer
Trust
1,499,366
3.000%, 
8/25/2056,
Ser.
2017-2,
Class
HA
c
1,586,635
1,606,022
2.500%, 
8/25/2059,
Ser.
2020-1,
Class
MT
c
1,653,746
1,793,297
2.000%, 
11/25/2059,
Ser.
2020-2,
Class
MT
c
1,795,215
Wachovia
Asset
Securitization,
Inc.
266,552
0.258%, 
(LIBOR
1M
+
0.140%),
7/25/2037,
Ser.
2007-HE1,
Class
A
a,b,c
249,081
Total
27,237,176
Government
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
95
Principal
Amount
Long-Term
Fixed
Income
(99.3%)
Value
Commercial
Mortgage-Backed
Securities
(2.5%)
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
$
1,484,409
1.238%, 
1/25/2035,
Ser.
K-1516,
Class
A1
c
$
1,389,793
974,396
3.000%, 
3/15/2045,
Ser.
4741,
Class
GA
1,007,933
Federal
National
Mortgage
Association
-
ACES
265,153
3.560%, 
9/25/2021,
Ser.
2018-M5,
Class
A2
a
266,558
1,250,000
2.961%, 
2/25/2027,
Ser.
2017-M7,
Class
A2
a
1,345,654
FRESB
Multifamily
Mortgage
Pass-
Through
Trust
1,433,436
2.950%, 
8/25/2027,
Ser.
2017-SB40,
Class
A10F
a,c
1,469,636
Total
5,479,574
Energy
(0.1%)
Petroleos
Mexicanos
135,000
2.378%, 
4/15/2025
139,717
Total
139,717
Financials
(2.3%)
HSBC
Bank
Canada
750,000
0.950%, 
5/14/2023
b
757,881
Nationwide
Building
Society
750,000
1.700%, 
2/13/2023
b
768,644
Oesterreichische
Kontrollbank
AG
2,000,000
2.875%, 
9/7/2021
2,022,683
Preferred
Term
Securities
XXIII,
Ltd.
40,136
0.384%, 
(LIBOR
3M
+
0.200%),
12/22/2036
a,b
33,699
Santander
UK
plc
700,000
1.625%, 
2/12/2023
b
715,918
Westpac
Banking
Corporation
750,000
2.000%, 
1/16/2025
b
780,240
Total
5,079,065
Foreign
Government
(4.6%)
CPPIB
Capital,
Inc.
2,000,000
3.125%, 
9/25/2023
b
2,134,780
Development
Bank
of
Japan,
Inc.
750,000
2.125%, 
9/1/2022
b
767,272
Export
Development
Canada
2,000,000
2.500%, 
1/24/2023
2,082,060
Kommunalbanken
AS
2,000,000
2.500%, 
1/11/2023
b
2,078,820
Province
of
British
Columbia
Canada
1,550,000
1.750%, 
9/27/2024
1,611,783
Province
of
Ontario
Canada
1,000,000
3.400%, 
10/17/2023
1,075,105
Province
of
Quebec
400,000
7.500%, 
7/15/2023
e
462,613
Total
10,212,433
Principal
Amount
Long-Term
Fixed
Income
(99.3%)
Value
Mortgage-Backed
Securities
(27.7%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
$
3,018,856
3.000%, 
2/1/2050
$
3,183,828
1,692,445
3.000%, 
3/25/2050
1,766,364
2,119,403
3.000%, 
4/1/2050
2,213,371
918,457
3.500%, 
7/1/2047
975,033
Federal
National
Mortgage
Association
791,079
3.500%, 
10/1/2048
835,561
899,086
3.500%, 
8/1/2049
951,476
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
5,730,000
1.500%, 
4/1/2036
f
5,755,869
10,400,000
2.000%, 
4/1/2036
f
10,673,234
4,300,000
2.500%, 
4/1/2036
f
4,473,848
2,250,000
2.000%, 
5/1/2036
f
2,306,278
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
6,575,000
2.000%, 
4/1/2051
f,g
6,562,672
6,100,000
2.500%, 
4/1/2051
f
6,259,648
4,470,000
2.000%, 
5/1/2051
f,g
4,453,412
9,750,000
2.500%, 
5/1/2051
f
9,984,229
1,164,381
4.000%, 
7/1/2048
1,249,754
Total
61,644,577
U.S.
Government
&
Agencies
(42.5%)
Federal
Farm
Credit
Bank
400,000
2.210%, 
8/1/2024
423,283
Federal
Home
Loan
Bank
2,500,000
2.500%, 
2/13/2024
2,658,419
Federal
Home
Loan
Mortgage
Corporation
1,000,000
0.250%, 
8/24/2023
1,000,228
Federal
National
Mortgage
Association
1,500,000
0.750%, 
10/8/2027
1,444,378
500,000
5.960%, 
9/11/2028
653,142
875,000
0.875%, 
8/5/2030
809,039
Tennessee
Valley
Authority
1,115,000
5.250%, 
9/15/2039
1,529,124
U.S.
Treasury
Bonds
2,240,000
1.375%, 
8/15/2050
1,747,900
1,375,000
2.250%, 
11/15/2027
1,455,513
1,500,000
5.250%, 
11/15/2028
1,909,805
8,840,000
2.625%, 
2/15/2029
9,561,703
11,860,000
1.500%, 
2/15/2030
11,714,066
1,100,000
1.125%, 
2/15/2031
1,039,328
630,000
1.125%, 
5/15/2040
514,041
1,115,000
3.000%, 
5/15/2042
1,245,185
4,180,000
2.500%, 
5/15/2046
4,259,681
4,150,000
2.875%, 
5/15/2049
4,557,219
U.S.
Treasury
Bonds,
TIPS
2,120,660
0.500%, 
1/15/2028
2,361,692
1,110,578
0.875%, 
2/15/2047
1,336,756
U.S.
Treasury
Notes
1,150,000
1.125%, 
2/28/2022
1,161,051
1,500,000
0.125%, 
7/31/2022
1,500,117
1,500,000
1.875%, 
7/31/2022
1,535,098
6,770,000
0.125%, 
10/31/2022
6,769,207
225,000
2.000%, 
11/30/2022
231,935
3,020,000
1.375%, 
2/15/2023
3,088,776
Government
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
96
Principal
Amount
Long-Term
Fixed
Income
(99.3%)
Value
U.S.
Government
&
Agencies
(42.5%)
-
continued
$
275,000
2.750%, 
7/31/2023
$
291,199
1,175,000
0.125%, 
1/15/2024
1,169,125
350,000
2.500%, 
1/31/2024
371,520
250,000
2.125%, 
7/31/2024
263,877
3,500,000
1.250%, 
8/31/2024
3,590,918
6,850,000
2.250%, 
11/15/2024
7,269,295
1,450,000
1.375%, 
1/31/2025
1,491,914
1,000,000
2.875%, 
7/31/2025
1,090,781
900,000
0.250%, 
8/31/2025
879,047
2,275,000
2.625%, 
1/31/2026
2,462,865
750,000
1.750%, 
12/31/2026
776,191
650,000
0.500%, 
4/30/2027
622,527
2,000,000
0.625%, 
11/30/2027
1,907,188
U.S.
Treasury
Notes,
TIPS
2,268,187
0.125%, 
10/15/2024
2,453,363
4,838,400
0.125%, 
10/15/2025
5,270,706
Total
94,417,202
Total
Long-Term
Fixed
Income
(cost
$217,989,839)
220,526,877
Shares
Collateral
Held
for
Securities
Loaned
(
0.2%
)
Value
359,250
Thrivent
Cash
Management
Trust
359,250
Total
Collateral
Held
for
Securities
Loaned
(cost
$359,250)
359,250
Shares
or
Principal
Amount
Short-Term
Investments
(
24.4%
)
Value
Federal
Farm
Credit
Discount
Notes
100,000
0.025%,
4/1/2021
h
100,000
Federal
Home
Loan
Bank
Discount
Notes
200,000
0.040%,
5/4/2021
h
199,998
100,000
0.030%,
5/6/2021
h,i
99,999
100,000
0.030%,
5/13/2021
h
99,999
100,000
0.015%,
6/16/2021
h,i
99,996
Thrivent
Core
Short-Term
Reserve
Fund
5,341,407
0.180%
53,414,074
U.S.
Treasury
Bills
300,000
0.022%,
4/20/2021
h,j
299,997
Total
Short-Term
Investments
(cost
$54,276,700)
54,314,063
Contracts
Options
Purchased
(
0.1%
)
Value
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
30
$132.50,
expires
5/21/2021
58,125
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
Contracts
Options
Purchased
(0.1%)
Value
29
$160.00,
expires
5/21/2021
$
170,375
Total
Options
Purchased
(cost
$113,601)
228,500
Total
Investments
(cost
$272,739,390)
124.0%
$275,428,690
Other
Assets
and
Liabilities,
Net
(24.0%)
(53,373,753)
Total
Net
Assets
100.0%
$222,054,937
a
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
March
31,
2021.
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
March
31,
2021,
the
value
of
these
investments
was
$20,731,301
or
9.3%
of
total
net
assets.
c
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
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
on
loan.
f
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
g
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
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.
j
At
March
31,
2021,
$299,997
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
Government
Bond
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
346,959
Total
lending
$346,959
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$359,250
Net
amounts
due
to
counterparty
$12,291
Government
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
97
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
FNMA
-
Federal
National
Mortgage
Association
HECM
-
Home
Equity
Conversion
Mortgage
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
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
16,317,133
16,317,133
Collateralized
Mortgage
Obligations
27,237,176
25,536,114
1,701,062
Commercial
Mortgage-Backed
Securities
5,479,574
5,479,574
Energy
139,717
139,717
Financials
5,079,065
5,079,065
Foreign
Government
10,212,433
10,212,433
Mortgage-Backed
Securities
61,644,577
61,644,577
U.S.
Government
&
Agencies
94,417,202
94,417,202
Short-Term
Investments
899,989
899,989
Options
Purchased
228,500
228,500
Subtotal
Investments
in
Securities
$221,655,366
$228,500
$219,725,804
$1,701,062
Other
Investments  *
Total
Affiliated
Short-Term
Investments
53,414,074
Collateral
Held
for
Securities
Loaned
359,250
Subtotal
Other
Investments
$53,773,324
Total
Investments
at
Value
$275,428,690
*
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
600,341
600,341
Total
Asset
Derivatives
$600,341
$600,341
$–
$–
Liability
Derivatives
Futures
Contracts
557,613
557,613
Call
Options
Written
79,541
74,265
5,276
Total
Liability
Derivatives
$637,154
$631,878
$–
$5,276
Government
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
98
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
Counterparty:
CCM
-
CCM
Futures,
LLC
JPM
-
J.P.
Morgan
MSC
-
Morgan
Stanley
&
Company
The
following
table
presents
Government
Bond
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$199,995
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
5-Yr.
U.S.
Treasury
Note
36
June
2021
$
4,499,250
(
$
56,907)
CBOT
U.S.
Long
Bond
33
June
2021
5,254,582
(
152,989)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
38
June
2021
7,234,030
(
347,717)
Total
Futures
Long
Contracts
$
16,987,862
(
$
557,613)
CBOT
10-Yr.
U.S.
Treasury
Note
(82)
June
2021
(
$
10,960,554)
$
223,679
CBOT
2-Yr.
U.S.
Treasury
Note
(64)
June
2021
(
14,134,044)
7,545
Ultra
10-Yr.
U.S.
Treasury
Note
(85)
June
2021
(
12,582,555)
369,117
Total
Futures
Short
Contracts
(
$
37,677,153)
$600,341
Total
Futures
Contracts
(
$
20,689,291)
$42,728
The
following
table
presents
Government
Bond
Portfolio's
options
contracts
held
as
of
March
31,
2021.
Option
_
Description
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
30.00
$
132.50
May
2021
3,928,125
$
58,125
$
26,174
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
29.00
160.00
May
2021
4,483,219
170,375
88,725
Total
Options
Purchased
Contracts
$228,500
$114,899
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(1.75)
$
102.72
April
2021
(1,746,719)
(
$
2)
$
9,568
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(2.50)
100.83
May
2021
(2,490,722)
(
5,274)
9,472
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
(30.00)
130.50
May
2021
(3,928,125)
(
25,781)
(
9,919)
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
(29.00)
153.00
May
2021
(4,483,219)
(
48,484)
(
21,384)
Total
Options
Written
Contracts
($79,541)
($12,263)
(*)  Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Government
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
99
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
Government
Bond
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$49,567
$38,940
$35,093
$53,414
5,341
24.0%
Total
Affiliated
Short-Term
Investments
49,567
53,414
24.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1,375
3
1,019
359
359
0.2
Total
Collateral
Held
for
Securities
Loaned
1,375
359
0.2
Total
Value
$50,942
$53,773
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$0
$24
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$24
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$–
$0
$–
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
100
Principal
Amount
Bank
Loans
(
4.0%
)
a
Value
Capital
Goods
(1.1%)
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
$
2,594,565
3.443%, 
(LIBOR
3M
+
3.250%),
4/3/2024
b
$
2,536,187
Navistar,
Inc.,
Term
Loan
4,173,939
3.620%, 
(LIBOR
1M
+
3.500%),
11/6/2024
b
4,172,896
Vertiv
Group
Corporation,
Term
Loan
3,685,763
2.869%, 
(LIBOR
3M
+
2.750%),
3/2/2027
b
3,654,286
Total
10,363,369
Communications
Services
(0.6%)
NEP
Group,
Inc.,
Term
Loan
2,578,406
3.359%, 
(LIBOR
1M
+
3.250%),
10/20/2025
b,c,d
2,496,386
Peraton
Corporation,
Delayed
Draw
1,989,527
0.000%, 
(LIBOR
1M
+
3.750%),
2/1/2028
b,c,d
1,987,876
Peraton
Corporation,
Term
Loan
1,130,473
4.500%, 
(LIBOR
3M
+
3.750%),
2/1/2028
b
1,129,535
Total
5,613,797
Consumer
Cyclical
(1.0%)
Cengage
Learning,
Inc.,
Term
Loan
4,058,778
5.250%, 
(LIBOR
3M
+
4.250%),
6/7/2023
b
4,010,600
Golden
Nugget,
LLC,
Term
Loan
1,257,608
3.250%, 
(LIBOR
2M
+
2.500%),
10/4/2023
b
1,236,543
Staples,
Inc.,
Term
Loan
3,632,874
5.205%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
3,539,037
Total
8,786,180
Consumer
Non-Cyclical
(0.5%)
Bellring
Brands,
LLC,
Term
Loan
2,394,181
4.750%, 
(LIBOR
1M
+
4.000%),
10/21/2024
b
2,405,147
Endo
Luxembourg
Finance
Company,
Term
Loan
1,775,000
0.000%, 
(LIBOR
1M
+
5.000%),
3/25/2028
b,c,d
1,755,031
Total
4,160,178
Technology
(0.4%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
2,573,468
3.712%, 
(LIBOR
3M
+
3.500%),
8/21/2026
b
2,468,394
Rackspace
Technology
Global,
Inc.,
Term
Loan
1,550,000
3.500%, 
(LIBOR
3M
+
2.750%),
2/9/2028
b
1,534,980
Total
4,003,374
Principal
Amount
Bank
Loans
(4.0%)
a
Value
Transportation
(0.4%)
American
Airlines,
Inc.,
Term
Loan
$
3,165,000
0.000%, 
(LIBOR
1M
+
4.750%),
3/24/2028
b,c,d
$
3,239,188
Total
3,239,188
Total
Bank
Loans
(cost
$36,289,125)
36,166,086
Principal
Amount
Long-Term
Fixed
Income
(
91.1%
)
Value
Basic
Materials
(6.1%)
Alcoa,
Inc.
1,605,000
5.125%, 
10/1/2024
1,765,339
Big
River
Steel,
LLC
1,540,000
6.625%, 
1/31/2029
e
1,677,365
Chemours
Company
2,590,000
5.750%, 
11/15/2028
e
2,727,050
Cleveland-Cliffs,
Inc.
1,550,000
5.750%, 
3/1/2025
f
1,598,360
1,550,000
4.625%, 
3/1/2029
e
1,547,365
1,550,000
4.875%, 
3/1/2031
e
1,546,125
Consolidated
Energy
Finance
SA
2,590,000
6.875%, 
6/15/2025
e
2,638,562
First
Quantum
Minerals,
Ltd.
3,925,000
7.250%, 
4/1/2023
e
3,993,687
2,140,000
6.875%, 
3/1/2026
e
2,214,900
Freeport-McMoRan,
Inc.
1,585,000
4.125%, 
3/1/2028
1,666,152
3,640,000
4.250%, 
3/1/2030
3,876,600
Grinding
Media,
Inc.
3,250,000
7.375%, 
12/15/2023
e
3,321,338
Hecla
Mining
Company
895,000
7.250%, 
2/15/2028
959,888
Hudbay
Minerals,
Inc.
775,000
4.500%, 
4/1/2026
e
805,465
Kraton
Polymers,
LLC
1,450,000
4.250%, 
12/15/2025
e
1,455,438
Mercer
International,
Inc.
1,565,000
5.500%, 
1/15/2026
1,604,125
520,000
5.125%, 
2/1/2029
e
538,720
Methanex
Corporation
1,280,000
5.125%, 
10/15/2027
1,308,800
Midwest
Vanadium,
Pty.
Ltd.
3,197,756
11.500%, 
2/15/2018
*,
g,h
5,596
Norbord,
Inc.
1,570,000
5.750%, 
7/15/2027
e
1,673,306
Novelis
Corporation
2,240,000
5.875%, 
9/30/2026
e
2,338,000
2,340,000
4.750%, 
1/30/2030
e
2,411,838
OCI
NV
3,330,000
4.625%, 
10/15/2025
e
3,442,388
Olin
Corporation
2,650,000
5.625%, 
8/1/2029
2,858,224
Taseko
Mines,
Ltd.
2,580,000
7.000%, 
2/15/2026
e
2,626,440
United
States
Steel
Corporation
2,330,000
6.875%, 
3/1/2029
2,382,425
Venator
Finance
SARL
2,050,000
5.750%, 
7/15/2025
e
1,988,500
Total
54,971,996
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
101
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Capital
Goods
(10.4%)
Abengoa
Abenewco
2
Bis
SA,
Convertible
$
3,963,662
0.000%,PIK
1.500%,
4/26/2024
*,
h,i
$
59,455
Advanced
Drainage
Systems,
Inc.
2,640,000
5.000%, 
9/30/2027
e
2,765,585
AECOM
3,195,000
5.125%, 
3/15/2027
3,476,559
Amsted
Industries,
Inc.
2,125,000
5.625%, 
7/1/2027
e
2,255,156
2,630,000
4.625%, 
5/15/2030
e
2,662,875
ARD
Finance
SA
2,600,000
6.500%, 
6/30/2027
e
2,730,000
Ardagh
Packaging
Finance
plc
5,295,000
5.250%, 
8/15/2027
e
5,401,324
Berry
Global,
Inc.
1,740,000
4.500%, 
2/15/2026
e,f
1,783,500
Bombardier,
Inc.
2,945,000
7.500%, 
3/15/2025
e
2,897,144
2,050,000
7.875%, 
4/15/2027
e
2,010,414
Brand
Industrial
Services,
Inc.
790,000
8.500%, 
7/15/2025
e
796,162
BWAY
Holding
Company
3,205,000
7.250%, 
4/15/2025
e
3,205,000
Clean
Harbors,
Inc.
3,330,000
5.125%, 
7/15/2029
e
3,535,228
Cornerstone
Building
Brands,
Inc.
3,170,000
6.125%, 
1/15/2029
e
3,376,050
Covanta
Holding
Corporation
1,060,000
6.000%, 
1/1/2027
1,106,375
1,030,000
5.000%, 
9/1/2030
1,040,300
CP
Atlas
Buyer,
Inc.
2,065,000
7.000%, 
12/1/2028
e
2,170,418
Crown
Cork
&
Seal
Company,
Inc.
3,210,000
7.375%, 
12/15/2026
3,864,037
Flex
Acquisition
Company,
Inc.
3,205,000
6.875%, 
1/15/2025
e
3,253,716
1,300,000
7.875%, 
7/15/2026
e
1,363,375
GFL
Environmental,
Inc.
4,115,000
4.000%, 
8/1/2028
e
3,981,262
H&E
Equipment
Services,
Inc.
5,500,000
3.875%, 
12/15/2028
e
5,348,750
Howmet
Aerospace,
Inc.
2,500,000
6.875%, 
5/1/2025
2,896,875
1,605,000
5.900%, 
2/1/2027
1,821,675
IAA
Spinco
,
Inc.
1,250,000
5.500%, 
6/15/2027
e
1,310,937
Jeld-Wen
,
Inc.
1,150,000
6.250%, 
5/15/2025
e
1,221,875
2,670,000
4.875%, 
12/15/2027
e
2,760,914
NESCO
Holdings
II,
Inc.
1,055,000
5.500%, 
4/15/2029
d,e
1,082,219
Owens-Brockway
Glass
Container,
Inc.
3,070,000
5.875%, 
8/15/2023
e
3,288,738
SRM
Escrow
Issuer,
LLC
2,565,000
6.000%, 
11/1/2028
e
2,688,120
Stericycle,
Inc.
515,000
3.875%, 
1/15/2029
e
508,563
Summit
Materials,
LLC
1,000,000
5.250%, 
1/15/2029
e
1,043,750
TransDigm
,
Inc.
4,945,000
6.250%, 
3/15/2026
e
5,242,689
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Capital
Goods
(10.4%)
-
continued
$
640,000
4.625%, 
1/15/2029
e
$
631,072
U.S.
Concrete,
Inc.
2,560,000
5.125%, 
3/1/2029
e
2,636,800
United
Rentals
North
America,
Inc.
4,240,000
5.875%, 
9/15/2026
4,436,100
1,790,000
3.875%, 
2/15/2031
1,798,950
WESCO
Distribution,
Inc.
1,280,000
7.250%, 
6/15/2028
e
1,428,986
Total
93,880,948
Communications
Services
(12.3%)
C&W
Senior
Financing
DAC
525,000
6.875%, 
9/15/2027
e
559,781
CBS
Radio,
Inc.
2,635,000
7.250%, 
11/1/2024
e,f
2,727,225
CCO
Holdings,
LLC
3,700,000
5.375%, 
6/1/2029
e
3,968,250
4,190,000
4.750%, 
3/1/2030
e
4,341,887
2,640,000
4.500%, 
8/15/2030
e
2,690,688
CCOH
Safari,
LLC
2,350,000
5.750%, 
2/15/2026
e
2,424,612
Cengage
Learning,
Inc.
3,180,000
9.500%, 
6/15/2024
e
3,239,625
Clear
Channel
Worldwide
Holdings,
Inc.
1,055,000
9.250%, 
2/15/2024
1,097,517
2,380,000
7.750%, 
4/15/2028
e
2,353,820
Cumulus
Media
New
Holdings,
Inc.
2,308,000
6.750%, 
7/1/2026
e,f
2,351,275
DISH
DBS
Corporation
1,800,000
7.375%, 
7/1/2028
1,888,290
Embarq
Corporation
3,695,000
7.995%, 
6/1/2036
4,257,416
Entercom
Media
Corporation
3,835,000
6.500%, 
5/1/2027
e,f
3,964,431
Front
Range
BidCo
,
Inc.
2,080,000
6.125%, 
3/1/2028
e
2,134,600
Frontier
Communications
Corporation
2,055,000
5.000%, 
5/1/2028
e
2,092,771
GCI,
LLC
3,210,000
4.750%, 
10/15/2028
e
3,286,238
Gogo
Intermediate
Holdings,
LLC
1,055,000
9.875%, 
5/1/2024
e
1,110,388
iHeartCommunications
,
Inc.
790,000
8.375%, 
5/1/2027
847,275
LCPR
Senior
Secured
Financing
DAC
2,500,000
6.750%, 
10/15/2027
e
2,665,375
Ligado
Networks,
LLC
525,000
0.000%,PIK
15.500%,
11/1/2023
e,i,j
492,030
Lions
Gate
Capital
Holdings,
LLC
2,050,000
5.875%, 
11/1/2024
e
2,110,229
Meredith
Corporation
2,382,000
6.875%, 
2/1/2026
f
2,449,708
Netflix,
Inc.
3,325,000
4.875%, 
4/15/2028
3,761,406
Nielsen
Finance,
LLC
1,795,000
5.625%, 
10/1/2028
e
1,886,994
Radiate
Holdco,
LLC
1,055,000
6.500%, 
9/15/2028
e
1,114,027
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
102
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Communications
Services
(12.3%)
-
continued
Scripps
Escrow,
Inc.
$
2,560,000
5.875%, 
7/15/2027
e
$
2,649,600
SFR
Group
SA
2,650,000
7.375%, 
5/1/2026
e
2,756,265
Sirius
XM
Radio,
Inc.
3,750,000
4.625%, 
7/15/2024
e
3,862,875
Sprint
Capital
Corporation
2,395,000
6.875%, 
11/15/2028
3,020,023
Sprint
Corporation
2,040,000
7.125%, 
6/15/2024
2,348,550
8,590,000
7.625%, 
2/15/2025
10,243,575
TEGNA,
Inc.
3,075,000
4.625%, 
3/15/2028
3,128,813
Terrier
Media
Buyer,
Inc.
1,590,000
8.875%, 
12/15/2027
e
1,710,920
United
States
Cellular
Corporation
2,746,000
6.700%, 
12/15/2033
3,325,928
Uniti
Group,
LP
790,000
6.500%, 
2/15/2029
e
780,125
Univision
Communications,
Inc.
4,870,000
6.625%, 
6/1/2027
e
5,200,795
Viasat
,
Inc.
1,055,000
6.500%, 
7/15/2028
e
1,110,978
VTR
Comunicaciones
SPA
916,000
5.125%, 
1/15/2028
e
957,495
YPSO
Finance
BIS
SA
2,910,000
10.500%, 
5/15/2027
e
3,272,935
Ziggo
BV
3,185,000
5.500%, 
1/15/2027
e
3,316,381
3,975,000
4.875%, 
1/15/2030
e
4,062,987
Total
111,564,103
Consumer
Cyclical
(17.7%)
1011778
B.C.,
ULC
4,190,000
4.375%, 
1/15/2028
e
4,209,777
Allied
Universal
Holdco,
LLC
1,535,000
6.625%, 
7/15/2026
e
1,627,837
Allison
Transmission,
Inc
4,360,000
3.750%, 
1/30/2031
e
4,223,750
American
Axle
&
Manufacturing,
Inc.
2,055,000
6.500%, 
4/1/2027
f
2,132,062
Brookfield
Residential
Properties,
Inc.
3,440,000
6.250%, 
9/15/2027
e
3,590,500
Caesars
Entertainment,
Inc.
1,055,000
8.125%, 
7/1/2027
e
1,163,396
Carnival
Corporation
1,540,000
11.500%, 
4/1/2023
e
1,765,225
260,000
10.500%, 
2/1/2026
e
305,825
2,555,000
7.625%, 
3/1/2026
e
2,744,836
3,880,000
5.750%, 
3/1/2027
e
3,981,850
Cedar
Fair,
LP
2,850,000
5.250%, 
7/15/2029
2,929,486
Cinemark
USA,
Inc.
3,435,000
5.875%, 
3/15/2026
e
3,517,234
Colt
Merger
Sub,
Inc.
4,475,000
6.250%, 
7/1/2025
e
4,770,417
Dana
Financing
Luxembourg
SARL
3,925,000
6.500%, 
6/1/2026
e
4,072,187
Empire
Communities
Corporation
2,585,000
7.000%, 
12/15/2025
e
2,723,944
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Consumer
Cyclical
(17.7%)
-
continued
Ford
Motor
Company
$
1,000,000
9.625%, 
4/22/2030
$
1,395,540
5,640,000
7.450%, 
7/16/2031
7,111,081
Ford
Motor
Company,
Convertible
1,585,000
Zero
Coupon, 
3/15/2026
e
1,600,850
Ford
Motor
Credit
Company,
LLC
3,600,000
5.125%, 
6/16/2025
3,888,000
2,610,000
4.134%, 
8/4/2025
2,729,864
3,600,000
3.375%, 
11/13/2025
3,661,200
Hanesbrands,
Inc.
3,235,000
4.875%, 
5/15/2026
e
3,469,537
Herc
Holdings,
Inc.
5,330,000
5.500%, 
7/15/2027
e
5,672,186
Hilton
Domestic
Operating
Company,
Inc.
660,000
3.750%, 
5/1/2029
e
653,400
2,050,000
4.875%, 
1/15/2030
2,174,640
International
Game
Technology
plc
1,600,000
6.250%, 
1/15/2027
e
1,772,712
575,000
5.250%, 
1/15/2029
e
599,725
KAR
Auction
Services,
Inc.
2,670,000
5.125%, 
6/1/2025
e
2,718,194
KB
Home
2,130,000
6.875%, 
6/15/2027
2,495,061
1,635,000
4.800%, 
11/15/2029
1,712,663
L
Brands,
Inc.
1,280,000
6.875%, 
7/1/2025
e
1,422,336
2,045,000
5.250%, 
2/1/2028
2,193,263
2,310,000
6.625%, 
10/1/2030
e
2,637,558
1,030,000
6.875%, 
11/1/2035
1,227,544
Landry's,
Inc.
1,460,000
6.750%, 
10/15/2024
e
1,476,308
Levi
Strauss
&
Company
2,195,000
3.500%, 
3/1/2031
e
2,118,175
Live
Nation
Entertainment,
Inc.
1,545,000
3.750%, 
1/15/2028
e
1,523,756
Macy's
Retail
Holdings,
LLC
1,585,000
5.875%, 
4/1/2029
e,f
1,625,346
Mattamy
Group
Corporation
3,685,000
5.250%, 
12/15/2027
e
3,855,431
1,800,000
4.625%, 
3/1/2030
e
1,787,904
New
Red
Finance,
Inc.
2,300,000
4.000%, 
10/15/2030
e
2,219,500
PetSmart,
Inc.
2,515,000
7.750%, 
2/15/2029
e
2,722,362
PGT
Escrow
Issuer,
Inc.
3,195,000
6.750%, 
8/1/2026
e
3,394,688
Prime
Security
Services
Borrower,
LLC
4,770,000
5.750%, 
4/15/2026
e
5,161,379
1,790,000
3.375%, 
8/31/2027
e
1,736,300
Real
Hero
Merger
Sub
2,
Inc.
1,130,000
6.250%, 
2/1/2029
e
1,166,725
Realogy
Group,
LLC
3,095,000
5.750%, 
1/15/2029
e
3,052,444
Royal
Caribbean
Cruises,
Ltd.
2,565,000
9.125%, 
6/15/2023
e
2,826,450
515,000
3.700%, 
3/15/2028
f
474,665
1,190,000
5.500%, 
4/1/2028
e
1,195,950
Scientific
Games
International,
Inc.
2,650,000
5.000%, 
10/15/2025
e
2,744,605
3,050,000
7.250%, 
11/15/2029
e
3,309,250
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
103
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Consumer
Cyclical
(17.7%)
-
continued
SeaWorld
Parks
and
Entertainment,
Inc.
$
2,050,000
9.500%, 
8/1/2025
e
$
2,227,991
Service
Properties
Trust
2,245,000
7.500%, 
9/15/2025
2,551,268
Six
Flags
Entertainment
Corporation
2,035,000
4.875%, 
7/31/2024
e
2,054,577
Six
Flags
Theme
Parks,
Inc.
1,000,000
7.000%, 
7/1/2025
e
1,081,250
Staples,
Inc.
2,875,000
7.500%, 
4/15/2026
e
3,032,406
Stars
Group
Holdings
BV
2,550,000
7.000%, 
7/15/2026
e,f
2,664,750
Tenneco,
Inc.
1,530,000
5.000%, 
7/15/2026
f
1,442,025
900,000
7.875%, 
1/15/2029
e
1,009,980
Uber
Technologies,
Inc.
1,540,000
6.250%, 
1/15/2028
e
1,677,368
Wyndham
Destinations,
Inc.
2,830,000
6.625%, 
7/31/2026
e
3,213,041
Wyndham
Hotels
&
Resorts,
Inc.
1,540,000
4.375%, 
8/15/2028
e
1,557,710
Yum!
Brands,
Inc.
2,090,000
5.250%, 
6/1/2026
e
2,153,912
Total
159,951,196
Consumer
Non-Cyclical
(13.6%)
Albertson's
Companies,
Inc.
1,930,000
4.625%, 
1/15/2027
e
2,000,339
4,410,000
5.875%, 
2/15/2028
e
4,702,162
2,800,000
3.500%, 
3/15/2029
e
2,664,592
Bausch
Health
Companies,
Inc.
3,915,000
5.000%, 
1/30/2028
e
3,963,937
2,840,000
6.250%, 
2/15/2029
e
3,018,808
2,125,000
7.250%, 
5/30/2029
e
2,372,031
625,000
5.250%, 
1/30/2030
e
628,250
1,540,000
5.250%, 
2/15/2031
e
1,532,639
Centene
Corporation
2,130,000
5.375%, 
6/1/2026
e
2,227,341
1,400,000
4.250%, 
12/15/2027
1,472,627
2,045,000
4.625%, 
12/15/2029
2,213,314
920,000
3.375%, 
2/15/2030
928,620
Community
Health
Systems,
Inc.
1,795,000
5.625%, 
3/15/2027
e
1,880,262
3,095,000
6.875%, 
4/15/2029
e
3,240,063
1,545,000
4.750%, 
2/15/2031
e
1,509,310
Cooke
Omega
Investments,
Inc.
2,555,000
8.500%, 
12/15/2022
e
2,625,262
DaVita,
Inc.
4,590,000
4.625%, 
6/1/2030
e
4,676,567
1,055,000
3.750%, 
2/15/2031
e
1,006,185
Dole
Food
Company,
Inc.
3,064,000
7.250%, 
6/15/2025
e
3,144,752
Edgewell
Personal
Care
Company
1,540,000
5.500%, 
6/1/2028
e
1,626,240
Encompass
Health
Corporation
3,415,000
4.500%, 
2/1/2028
3,497,370
Endo
Finance,
LLC
1,585,000
9.500%, 
7/31/2027
e
1,721,706
Energizer
Holdings,
Inc.
3,940,000
4.750%, 
6/15/2028
e
4,063,125
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Consumer
Non-Cyclical
(13.6%)
-
continued
HCA,
Inc.
$
3,705,000
5.375%, 
2/1/2025
$
4,132,983
2,380,000
5.875%, 
2/1/2029
2,772,700
Herbalife
Nutrition,
Ltd.
2,320,000
7.875%, 
9/1/2025
e
2,523,000
Illumina,
Inc.
2,565,000
9.000%, 
7/1/2028
e
2,886,395
JBS
Investments
II
GmbH
2,560,000
5.750%, 
1/15/2028
e
2,700,800
Kraft
Heinz
Foods
Company
3,380,000
3.875%, 
5/15/2027
3,681,142
2,610,000
3.750%, 
4/1/2030
2,770,115
2,560,000
4.875%, 
10/1/2049
2,871,328
Mattel,
Inc.
2,640,000
3.375%, 
4/1/2026
e
2,725,642
1,075,000
5.875%, 
12/15/2027
e
1,180,157
Molina
Healthcare,
Inc.
1,430,000
4.375%, 
6/15/2028
e
1,471,413
MPH
Acquisition
Holdings,
LLC
1,540,000
5.750%, 
11/1/2028
e,f
1,501,500
Ortho-Clinical
Diagnostics,
Inc.
1,572,000
7.250%, 
2/1/2028
e
1,722,378
Par
Pharmaceutical,
Inc.
2,650,000
7.500%, 
4/1/2027
e
2,810,723
SEG
Holding,
LLC
3,080,000
5.625%, 
10/15/2028
e
3,226,300
Simmons
Foods,
Inc.
1,655,000
4.625%, 
3/1/2029
e
1,669,514
Spectrum
Brands,
Inc.
210,000
5.750%, 
7/15/2025
216,563
930,000
5.000%, 
10/1/2029
e
981,150
770,000
5.500%, 
7/15/2030
e
823,900
Syneos
Health,
Inc.
1,845,000
3.625%, 
1/15/2029
e
1,794,263
Tenet
Healthcare
Corporation
8,180,000
4.875%, 
1/1/2026
e
8,505,237
4,490,000
5.125%, 
11/1/2027
e
4,695,193
Teva
Pharmaceutical
Finance
Netherlands
III
BV
2,945,000
3.150%, 
10/1/2026
2,816,156
United
Natural
Foods,
Inc.
2,570,000
6.750%, 
10/15/2028
e
2,746,688
VRX
Escrow
Corporation
3,225,000
6.125%, 
4/15/2025
e
3,306,270
Total
123,247,012
Energy
(11.7%)
Antero
Midstream
Partners,
LP
515,000
5.375%, 
9/15/2024
519,506
515,000
5.750%, 
3/1/2027
e
515,113
Antero
Resources
Corporation
1,285,000
8.375%, 
7/15/2026
e
1,416,712
Apache
Corporation
1,595,000
4.625%, 
11/15/2025
1,643,328
1,535,000
4.375%, 
10/15/2028
1,530,395
2,300,000
5.100%, 
9/1/2040
2,248,250
Archrock
Partners,
LP
1,030,000
6.250%, 
4/1/2028
e
1,046,274
Buckeye
Partners,
LP
2,825,000
4.125%, 
12/1/2027
2,789,687
1,570,000
4.500%, 
3/1/2028
e
1,573,925
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
104
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Energy
(11.7%)
-
continued
Centennial
Resource
Production,
LLC
$
1,850,000
5.375%, 
1/15/2026
e,f
$
1,628,000
Cheniere
Energy
Partners,
LP
3,205,000
5.625%, 
10/1/2026
3,351,468
4,290,000
4.500%, 
10/1/2029
4,448,816
Chesapeake
Escrow
Issuer,
LLC
1,320,000
5.500%, 
2/1/2026
e
1,373,981
CNX
Resources
Corporation
2,055,000
6.000%, 
1/15/2029
e
2,135,515
Comstock
Resources,
Inc.
1,540,000
9.750%, 
8/15/2026
1,670,900
260,000
6.750%, 
3/1/2029
e
266,500
Continental
Resources,
Inc.
1,374,000
4.500%, 
4/15/2023
1,423,052
2,570,000
5.750%, 
1/15/2031
e
2,903,740
CrownRock
Finance,
Inc.
1,790,000
5.625%, 
10/15/2025
e
1,826,194
Enagas
SA
2,620,000
5.500%, 
1/15/2028
e
2,558,823
Endeavor
Energy
Resources,
LP
1,020,000
6.625%, 
7/15/2025
e
1,090,115
1,020,000
5.750%, 
1/30/2028
e
1,077,446
EnLink
Midstream
Partners,
LP
2,805,000
5.600%, 
4/1/2044
2,328,150
EnLink
Midstream,
LLC
2,575,000
5.625%, 
1/15/2028
e
2,489,973
EQM
Midstream
Partners,
LP
1,030,000
4.500%, 
1/15/2029
e
1,003,694
2,565,000
6.500%, 
7/15/2048
2,558,587
EQT
Corporation
1,055,000
7.625%, 
2/1/2025
1,214,184
1,025,000
3.900%, 
10/1/2027
1,045,500
640,000
5.000%, 
1/15/2029
684,800
Genesis
Energy,
LP
1,030,000
6.500%, 
10/1/2025
1,009,657
Harvest
Midstream,
LP
3,380,000
7.500%, 
9/1/2028
e
3,632,486
Hess
Midstream
Operations,
LP
790,000
5.625%, 
2/15/2026
e
813,700
Hilcorp
Energy
I,
LP
515,000
6.250%, 
11/1/2028
e
530,450
MEG
Energy
Corporation
1,850,000
6.500%, 
1/15/2025
e
1,910,957
Murphy
Oil
Corporation
1,535,000
5.875%, 
12/1/2027
1,504,300
Newfield
Exploration
Company
3,875,000
5.375%, 
1/1/2026
4,270,350
NGL
Energy
Operating,
LLC
905,000
7.500%, 
2/1/2026
e
929,888
NGL
Energy
Partners,
LP
1,545,000
7.500%, 
4/15/2026
1,317,113
NuStar
Logistics,
LP
515,000
5.750%, 
10/1/2025
551,318
Oasis
Midstream
Partners,
LP
450,000
8.000%, 
4/1/2029
e
461,250
Occidental
Petroleum
Corporation
823,000
2.700%, 
8/15/2022
823,309
1,790,000
2.700%, 
2/15/2023
1,785,919
1,740,000
3.450%, 
7/15/2024
1,740,000
2,900,000
3.500%, 
6/15/2025
2,871,000
2,045,000
8.000%, 
7/15/2025
2,347,517
2,045,000
8.875%, 
7/15/2030
2,578,745
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Energy
(11.7%)
-
continued
$
2,555,000
4.300%, 
8/15/2039
$
2,166,666
2,555,000
4.400%, 
4/15/2046
2,188,204
PBF
Holding
Company,
LLC
1,585,000
9.250%, 
5/15/2025
e
1,618,206
Precision
Drilling
Corporation
1,180,000
7.750%, 
12/15/2023
1,184,425
Range
Resources
Corporation
1,805,000
8.250%, 
1/15/2029
e
1,931,350
Sanchez
Energy
Corporation
3,740,000
0.000%, 
2/15/2023
g,h,j
4
SM
Energy
Company
1,055,000
10.000%, 
1/15/2025
e
1,186,875
Southwestern
Energy
Company
2,145,000
7.500%, 
4/1/2026
f
2,269,453
Sunoco,
LP
1,090,000
5.500%, 
2/15/2026
1,119,746
1,025,000
4.500%, 
5/15/2029
e
1,021,156
Targa
Resources
Partners,
LP
1,040,000
6.500%, 
7/15/2027
1,130,147
Teine
Energy,
Ltd.
1,585,000
6.875%, 
4/15/2029
d,e
1,604,179
Transocean
Pontus,
Ltd.
387,875
6.125%, 
8/1/2025
e,f
366,542
Transocean,
Inc.
3,037,000
11.500%, 
1/30/2027
e
2,604,896
Valaris
plc
3,745,000
4.750%, 
1/15/2024
g,h
486,850
Vine
Energy
Holdings,
LLC
1,580,000
6.750%, 
4/15/2029
d,e
1,580,000
W&T
Offshore,
Inc.
1,320,000
9.750%, 
11/1/2023
e
1,167,804
Weatherford
International,
Ltd.
1,055,000
8.750%, 
9/1/2024
e
1,103,636
Western
Gas
Partners,
LP
1,580,000
4.650%, 
7/1/2026
1,666,458
WPX
Energy,
Inc.
325,000
5.250%, 
10/15/2027
346,294
Total
106,183,478
Financials
(8.4%)
Alliant
Holdings
Intermediate,
LLC
525,000
6.750%, 
10/15/2027
e
558,794
Ally
Financial,
Inc.
4,000,000
5.750%, 
11/20/2025
4,544,309
Burford
Capital
Global
Finance,
LLC
525,000
6.250%, 
4/15/2028
d,e
538,125
CANPACK
SA
1,000,000
3.125%, 
11/1/2025
e
1,015,000
Charles
Schwab
Corporation
2,110,000
4.000%, 
6/1/2026
b,k
2,141,228
Chobani
,
LLC
2,055,000
4.625%, 
11/15/2028
e
2,096,100
Credit
Acceptance
Corporation
1,580,000
5.125%, 
12/31/2024
e
1,611,600
2,020,000
6.625%, 
3/15/2026
2,126,050
Diversified
Healthcare
Trust
3,875,000
4.375%, 
3/1/2031
3,782,310
Drawbridge
Special
Opportunities
Fund,
LP
5,500,000
3.875%, 
2/15/2026
e
5,641,659
ESH
Hospitality,
Inc.
2,560,000
4.625%, 
10/1/2027
e
2,707,558
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
105
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Financials
(8.4%)
-
continued
Fortress
Transportation
$
1,500,000
6.500%, 
10/1/2025
e
$
1,567,500
Genworth
Holdings,
Inc.
525,000
4.900%, 
8/15/2023
515,786
Global
Net
Lease,
Inc.
4,500,000
3.750%, 
12/15/2027
e
4,386,260
Icahn
Enterprises,
LP
2,900,000
4.750%, 
9/15/2024
3,011,461
2,770,000
6.250%, 
5/15/2026
2,901,575
3,405,000
5.250%, 
5/15/2027
3,515,663
MGM
Growth
Properties
Operating
Partnership,
LP
2,350,000
5.750%, 
2/1/2027
2,590,722
MPT
Operating
Partnership,
LP
2,650,000
4.625%, 
8/1/2029
2,787,880
Navient
Corporation
1,580,000
6.750%, 
6/25/2025
1,715,485
NFP
Corporation
790,000
6.875%, 
8/15/2028
e
819,625
OneMain
Finance
Corporation
2,635,000
4.000%, 
9/15/2030
2,562,538
Park
Aerospace
Holdings,
Ltd.
4,285,000
4.500%, 
3/15/2023
e
4,475,167
PennyMac
Financial
Services,
Inc.
1,295,000
4.250%, 
2/15/2029
e
1,238,344
Playtika
Holding
Corporation
685,000
4.250%, 
3/15/2029
e
674,862
Service
Properties
Trust
1,025,000
4.500%, 
6/15/2023
1,041,256
1,055,000
4.750%, 
10/1/2026
1,028,625
Springleaf
Finance
Corporation
780,000
7.125%, 
3/15/2026
899,613
2,090,000
6.625%, 
1/15/2028
2,368,618
Trivium
Packaging
Finance
1,060,000
5.500%, 
8/15/2026
e
1,111,675
530,000
8.500%, 
8/15/2027
e
575,156
United
Wholesale
Mortgage,
LLC
2,265,000
5.500%, 
4/15/2029
d,e
2,265,000
VICI
Properties,
LP
1,050,000
4.250%, 
12/1/2026
e
1,074,239
2,340,000
3.750%, 
2/15/2027
e
2,340,000
1,300,000
4.625%, 
12/1/2029
e
1,348,568
2,090,000
4.125%, 
8/15/2030
e
2,108,183
Total
75,686,534
Technology
(5.2%)
Banff
Merger
Sub,
Inc.
790,000
9.750%, 
9/1/2026
e
841,350
Black
Knight
InfoServ
,
LLC
770,000
3.625%, 
9/1/2028
e
756,610
CDW,
LLC
1,750,000
4.125%, 
5/1/2025
1,820,000
CommScope
Technologies
Finance,
LLC
2,852,000
6.000%, 
6/15/2025
e
2,909,183
CommScope
,
Inc.
2,615,000
5.500%, 
3/1/2024
e
2,696,719
2,030,000
7.125%, 
7/1/2028
e
2,156,022
Diamond
Sports
Group,
LLC
3,425,000
6.625%, 
8/15/2027
e
1,781,000
Iron
Mountain,
Inc.
3,745,000
5.250%, 
3/15/2028
e
3,890,119
890,000
5.000%, 
7/15/2028
e
910,025
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Technology
(5.2%)
-
continued
$
1,020,000
5.250%, 
7/15/2030
e
$
1,052,436
NCR
Corporation
2,090,000
8.125%, 
4/15/2025
e
2,288,550
4,490,000
5.750%, 
9/1/2027
e
4,750,981
Presidio
Holdings,
Inc.
520,000
8.250%, 
2/1/2028
e
565,500
PTC,
Inc.
390,000
3.625%, 
2/15/2025
e
400,237
1,045,000
4.000%, 
2/15/2028
e
1,060,675
Qorvo
,
Inc.
2,615,000
4.375%, 
10/15/2029
2,791,539
Rackspace
Technology
Global,
Inc.
1,035,000
3.500%, 
2/15/2028
e
994,790
2,200,000
5.375%, 
12/1/2028
e,f
2,237,015
Seagate
HDD
Cayman
2,776,000
4.091%, 
6/1/2029
e
2,828,813
Shift4
Payments,
LLC
1,000,000
4.625%, 
11/1/2026
e
1,037,500
SS&C
Technologies,
Inc.
4,460,000
5.500%, 
9/30/2027
e
4,750,123
Switch,
Ltd.
2,690,000
3.750%, 
9/15/2028
e
2,648,897
Unisys
Corporation
1,540,000
6.875%, 
11/1/2027
e
1,686,300
Total
46,854,384
Transportation
(2.4%)
AerCap
Holdings
NV
2,640,000
5.875%, 
10/10/2079
b
2,715,781
American
Airlines,
Inc.
530,000
5.500%, 
4/20/2026
e
551,566
Avis
Budget
Car
Rental,
LLC
2,750,000
5.375%, 
3/1/2029
e
2,844,669
Delta
Air
Lines,
Inc.
3,310,000
7.000%, 
5/1/2025
e
3,812,979
1,540,000
4.750%, 
10/20/2028
e
1,674,589
Mileage
Plus
Holdings,
LLC
1,660,000
6.500%, 
6/20/2027
e
1,819,775
Spirit
Loyalty
Cayman,
Ltd.
750,000
8.000%, 
9/20/2025
e
847,500
XPO
Logistics,
Inc.
2,670,000
6.125%, 
9/1/2023
e
2,716,672
2,130,000
6.750%, 
8/15/2024
e
2,233,837
2,300,000
6.250%, 
5/1/2025
e
2,475,007
Total
21,692,375
Utilities
(3.3%)
Calpine
Corporation
4,805,000
4.500%, 
2/15/2028
e
4,845,362
GFL
Environmental,
Inc.
636,000
8.500%, 
5/1/2027
e
700,395
NextEra
Energy
Operating
Partners,
LP
5,790,000
3.875%, 
10/15/2026
e
6,072,262
NRG
Energy,
Inc.
1,680,000
7.250%, 
5/15/2026
1,747,200
1,285,000
3.375%, 
2/15/2029
e
1,254,481
1,330,000
5.250%, 
6/15/2029
e
1,423,100
PG&E
Corporation
770,000
5.000%, 
7/1/2028
813,486
Suburban
Propane
Partners,
LP
3,195,000
5.875%, 
3/1/2027
3,322,800
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
106
Principal
Amount
Long-Term
Fixed
Income
(91.1%)
Value
Utilities
(3.3%)
-
continued
Talen
Energy
Supply,
LLC
$
2,140,000
6.500%, 
6/1/2025
$
1,718,688
1,590,000
7.250%, 
5/15/2027
e
1,625,552
Terraform
Global
Operating,
LLC
2,660,000
6.125%, 
3/1/2026
e
2,726,500
TerraForm
Power
Operating,
LLC
2,940,000
5.000%, 
1/31/2028
e
3,172,407
Total
29,422,233
Total
Long-Term
Fixed
Income
(cost
$798,145,927)
823,454,259
Shares
Collateral
Held
for
Securities
Loaned
(
2.8%
)
Value
25,311,680
Thrivent
Cash
Management
Trust
25,311,680
Total
Collateral
Held
for
Securities
Loaned
(cost
$25,311,680)
25,311,680
Shares
Preferred
Stock
(
0.8%
)
Value
Financials
(0.8%)
92,627
Bank
of
America
Corporation,
5.000%
k
2,451,837
520
Bank
of
America
Corporation,
Convertible,
7.250%
k
726,960
60,760
J.P.
Morgan
Chase
&
Company,
4.750%
k
1,605,279
1,524
Wells
Fargo
&
Company,
Convertible,
7.500%
k
2,160,133
Total
6,944,209
Total
Preferred
Stock
(cost
$6,363,091)
6,944,209
Shares
Common
Stock
(
0.2%
)
Value
Communications
Services
(0.1%)
85,655
Windstream
Services,
LLC,
Warrants
(Expires
12/31/2049)
l
1,099,210
Total
1,099,210
Energy
(0.1%)
5,598
California
Resources
Corporation
l
134,688
12,877
California
Resources
Corporation,
Warrants
(Expires
10/27/2024)
l
58,590
2,486
Noble
Corporation
f,l
42,138
10,105
Noble
Corporation,
Warrants
(Expires
02/05/2028)
l
59,367
10,105
Noble
Corporation,
Warrants
(Expires
02/05/2028)
l
48,171
6,838
Pacific
Drilling
Reorg
Equity
j,l
752,180
806
Pacific
Drilling
Reorg,
Warrants
(Expires
12/31/27)
j,l
16,418
1,094
Vantage
Drilling
International
l
2,188
Total
1,113,740
Total
Common
Stock
(cost
$5,058,556)
2,212,950
Shares
or
Principal
Amount
Short-Term
Investments
(
3.7%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
200,000
0.080%,
4/7/2021
m,n
$
200,000
200,000
0.010%,
6/21/2021
m,n
199,991
Thrivent
Core
Short-Term
Reserve
Fund
3,137,348
0.180%
31,373,477
U.S.
Treasury
Bills
1,200,000
0.006%,
6/24/2021
m,o
1,199,965
Total
Short-Term
Investments
(cost
$32,940,897)
32,973,433
Total
Investments
(cost
$904,109,276)
102.6%
$927,062,617
Other
Assets
and
Liabilities,
Net
(2.6%)
(23,495,356)
Total
Net
Assets
100.0%
$903,567,261
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
March
31,
2021.
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
All
or
a
portion
of
the
loan
is
unfunded.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
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
March
31,
2021,
the
value
of
these
investments
was
$569,791,932
or
63.1%
of
total
net
assets.
f
All
or
a
portion
of
the
security
is
on
loan.
g
Defaulted
security.  Interest
is
not
being
accrued.
h
In
bankruptcy.  Interest
is
not
being
accrued.
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
March
31,
2021.
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
income
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.
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.
o
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
107
*
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
March
31,
2021
was
$65,051
or
0.01%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
March
31,
2021.
Security
Acquisition
Date
Cost
Abengoa
Abenewco
2
Bis
SA,
Convertible,
4/26/2024
4/26/2019
$
563,723
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
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
23,909,279
Common
Stock
1,695
Total
lending
$23,910,974
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$25,311,680
Net
amounts
due
to
counterparty
$1,400,706
Definitions:
PIK
-
Payment-In-Kind
Reference
Rate
Index:
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
108
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
High
Yield
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Capital
Goods
10,363,369
10,363,369
Communications
Services
5,613,797
5,613,797
Consumer
Cyclical
8,786,180
8,786,180
Consumer
Non-Cyclical
4,160,178
4,160,178
Technology
4,003,374
4,003,374
Transportation
3,239,188
3,239,188
Long-Term
Fixed
Income
Basic
Materials
54,971,996
54,971,996
Capital
Goods
93,880,948
93,880,948
Communications
Services
111,564,103
111,072,073
492,030
Consumer
Cyclical
159,951,196
159,951,196
Consumer
Non-Cyclical
123,247,012
123,247,012
Energy
106,183,478
106,183,474
4
Financials
75,686,534
75,686,534
Technology
46,854,384
46,854,384
Transportation
21,692,375
21,692,375
Utilities
29,422,233
29,422,233
Preferred
Stock
Financials
6,944,209
6,944,209
Common
Stock
Communications
Services
1,099,210
1,099,210
Energy
1,113,740
237,604
107,538
768,598
Short-Term
Investments
1,599,956
1,599,956
Subtotal
Investments
in
Securities
$870,377,460
$7,181,813
$861,935,015
$1,260,632
Other
Investments  *
Total
Affiliated
Short-Term
Investments
31,373,477
Collateral
Held
for
Securities
Loaned
25,311,680
Subtotal
Other
Investments
$56,685,157
Total
Investments
at
Value
$927,062,617
*
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
435,539
435,539
Credit
Default
Swaps
41,631
41,631
Total
Asset
Derivatives
$477,170
$435,539
$41,631
$–
The
following
table
presents
High
Yield
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$399,991
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
(326)
June
2021
(
$
43,121,164)
$
435,539
Total
Futures
Short
Contracts
(
$
43,121,164)
$435,539
Total
Futures
Contracts
(
$
43,121,164)
$435,539
High
Yield
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
109
The
following
table
presents
High
Yield
Portfolio's
swaps
contracts
held
as
of
March
31,
2021.
Investments
totaling
$1,199,965
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
36,
5
Year,
at
5.00%,
Quarterly
Sell
6/20/2026
(
$
10,600,000)
$
$
41,631
$
41,631
Total
Credit
Default
Swaps
$–
$41,631
$41,631
1
As
the
buyer
of
protection,
High
Yield
Portfolio
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.
As
the
seller
of
protection,
High
Yield
Portfolio
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.
2
The
maximum
potential
amount
of
future
payments
High
Yield
Portfolio
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$30,257
$101,155
$100,039
$31,373
3,137
3.5%
Total
Affiliated
Short-Term
Investments
30,257
31,373
3.5
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
20,946
29,519
25,153
25,312
25,312
2.8
Total
Collateral
Held
for
Securities
Loaned
20,946
25,312
2.8
Total
Value
$51,203
$56,685
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$19
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$19
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
13
Total
Affiliated
Income
from
Securities
Loaned,
Net
$13
Total
Value
$–
$–
$–
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
110
Principal
Amount
Bank
Loans
(
0.4%
)
a
Value
Basic
Materials
(<0.1%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
97,250
4.690%, 
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
96,626
Total
96,626
Communications
Services
(0.2%)
Altice
France
SA,
Term
Loan
192,500
2.859%, 
(LIBOR
1M
+
2.750%),
7/31/2025
b
188,546
Eagle
Broadband
Investments,
LLC,
Term
Loan
748,125
3.750%, 
(LIBOR
3M
+
3.000%),
11/12/2027
b
745,634
GCI,
LLC,
Term
Loan
586,651
3.500%, 
(LIBOR
1M
+
2.750%),
10/15/2025
b,c,d
583,231
HCP
Acquisition,
LLC,
Term
Loan
318,102
3.750%, 
(LIBOR
1M
+
2.750%),
5/16/2024
b
317,402
Radiate
Holdco,
LLC,
Term
Loan
618,450
4.250%, 
(LIBOR
1M
+
3.500%),
9/25/2026
b
617,819
TNS,
Inc.,
Term
Loan
334,418
4.110%, 
(LIBOR
1M
+
4.000%),
8/14/2022
b
332,605
WideOpenWest
Finance,
LLC,
Term
Loan
124,924
4.250%, 
(LIBOR
1M
+
3.250%),
8/19/2023
b
124,479
Total
2,909,716
Consumer
Cyclical
(0.1%)
Golden
Entertainment,
Inc.,
Term
Loan
593,475
3.750%, 
(LIBOR
1M
+
3.000%),
10/20/2024
b
584,573
LCPR
Loan
Financing,
LLC,
Term
Loan
375,000
0.000%, 
(LIBOR
3M
+
3.750%),
10/23/2026
b,c,d
375,468
Scientific
Games
International,
Inc.,
Term
Loan
873,000
2.859%, 
(LIBOR
1M
+
2.750%),
8/14/2024
b
855,479
Stars
Group
Holdings
BV,
Term
Loan
84,208
3.703%, 
(LIBOR
3M
+
3.500%),
7/10/2025
b
84,255
Tenneco,
Inc.,
Term
Loan
497,455
3.109%, 
(LIBOR
1M
+
3.000%),
10/1/2025
b
483,900
Total
2,383,675
Consumer
Non-Cyclical
(0.1%)
Bausch
Health
Americas,
Inc.,
Term
Loan
290,624
3.109%, 
(LIBOR
1M
+
3.000%),
6/1/2025
b
289,523
Endo
Luxembourg
Finance
Company,
Term
Loan
375,000
0.000%, 
(LIBOR
1M
+
5.000%),
3/25/2028
b,c,d
370,781
Principal
Amount
Bank
Loans
(0.4%)
a
Value
Consumer
Non-Cyclical
(0.1%)
-
continued
Global
Medical
Response,
Inc.,
Term
Loan
$
188,663
5.250%, 
(LIBOR
3M
+
4.250%),
3/14/2025
b
$
187,349
553,613
5.750%, 
(LIBOR
3M
+
4.750%),
10/2/2025
b
551,398
MPH
Acquisition
Holdings,
LLC,
Term
Loan
350,120
3.750%, 
(LIBOR
3M
+
2.750%),
6/7/2023
b
348,013
Total
1,747,064
Financials
(<0.1%)
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
124,850
2.500%, 
(LIBOR
1M
+
1.750%),
1/15/2025
b
124,327
Total
124,327
Technology
(<0.1%)
Prime
Security
Services
Borrower,
LLC,
Term
Loan
405,000
3.500%, 
(LIBOR
1M
+
2.750%),
9/23/2026
b
403,101
Total
403,101
Total
Bank
Loans
(cost
$7,670,452)
7,664,509
Principal
Amount
Long-Term
Fixed
Income
(
94.4%
)
Value
Asset-Backed
Securities
(3.1%)
522
Funding
CLO,
Ltd.
3,200,000
4.051%, 
(LIBOR
3M
+
3.850%),
10/23/2033,
Ser.
2020-6A,
Class
D
b,e
3,209,722
Atrium
IX
3,600,000
2.191%, 
(LIBOR
3M
+
2.000%),
5/28/2030,
Ser.
9A,
Class
CR2
b,e
3,600,349
Benefit
Street
Partners
CLO
II,
Ltd.
3,600,000
2.141%, 
(LIBOR
3M
+
1.900%),
7/15/2029,
Ser.
2013-IIA,
Class
BR2
b,e
3,550,388
CarVal
CLO
II,
Ltd.
3,600,000
2.194%, 
(LIBOR
3M
+
2.000%),
4/20/2032,
Ser.
2019-1A,
Class
CR
b,e
3,591,004
Galaxy
XXIII
CLO,
Ltd.
1,200,000
1.882%, 
(LIBOR
3M
+
1.700%),
4/24/2029,
Ser.
2017-23A,
Class
C1R
b,e
1,197,412
Goldentree
Loan
Management,
Ltd.
2,100,000
2.124%, 
(LIBOR
3M
+
1.900%),
4/20/2031,
Ser.
2020-7A,
Class
A
b,e
2,101,323
Magnetite
XII,
Ltd.
3,200,000
1.341%, 
(LIBOR
3M
+
1.100%),
10/15/2031,
Ser.
2015-12A,
Class
ARR
b,e
3,200,179
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
111
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Asset-Backed
Securities
(3.1%)
-
continued
Neuberger
Berman
CLO
XIV,
Ltd.
$
3,200,000
1.249%, 
(LIBOR
3M
+
1.030%),
1/28/2030,
Ser.
2013-14A,
Class
AR2
b,e
$
3,199,866
Octagon
Credit
Partners
46,
Ltd.
3,200,000
2.441%, 
(LIBOR
3M
+
2.200%),
7/15/2033,
Ser.
2020-2A,
Class
B
b,e
3,204,768
Octagon
Investment
Partners
50,
Ltd.
3,500,000
2.670%, 
(LIBOR
3M
+
2.500%),
10/15/2033,
Ser.
2020-4A,
Class
C
b,e
3,503,965
Octagon
Investment
Partners
XVI,
Ltd.
2,600,000
1.623%, 
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2013-1A,
Class
A2R
b,e
2,600,211
Octogon
Investment
Partners
31,
LLC
3,200,000
3.624%, 
(LIBOR
3M
+
3.400%),
7/20/2030,
Ser.
2017-1A,
Class
DR
b,e
3,180,490
Palmer
Square
CLO,
Ltd.
3,200,000
2.224%, 
(LIBOR
3M
+
2.000%),
4/20/2029,
Ser.
2020-1A,
Class
A1
b,e
3,202,390
Palmer
Square
Loan
Funding,
Ltd.
4,700,000
2.488%, 
(LIBOR
3M
+
2.300%),
11/25/2028,
Ser.
2020-4A,
Class
B
b,e
4,715,801
Shackleton
CLO,
Ltd.
2,150,000
1.411%, 
(LIBOR
3M
+
1.170%),
7/15/2031,
Ser.
2015-7RA,
Class
A1
b,e
2,150,030
Sound
Point
CLO
X,
Ltd.
3,200,000
2.924%, 
(LIBOR
3M
+
2.700%),
1/20/2028,
Ser.
2015-3A,
Class
DR
b,e
3,201,968
Sound
Point
CLO
XV,
Ltd.
6,400,000
1.685%, 
(LIBOR
3M
+
1.500%),
1/23/2029,
Ser.
2017-1A,
Class
BR
b,d,e
6,400,000
THL
Credit
Wind
River
CLO,
Ltd.
4,325,000
3.091%, 
(LIBOR
3M
+
2.850%),
7/15/2028,
Ser.
2016-1A,
Class
DR
b,e
4,282,952
Total
60,092,818
Basic
Materials
(2.7%)
Alcoa
Nederland
Holding
BV
240,000
5.500%, 
12/15/2027
e
258,336
Anglo
American
Capital
plc
3,200,000
3.625%, 
9/11/2024
e
3,461,042
2,550,000
4.750%, 
4/10/2027
e
2,923,816
Cleveland-Cliffs,
Inc.
160,000
4.625%, 
3/1/2029
e
159,728
160,000
4.875%, 
3/1/2031
e
159,600
Freeport-McMoRan,
Inc.
320,000
4.125%, 
3/1/2028
336,384
Glencore
Funding,
LLC
909,000
4.125%, 
5/30/2023
e
972,057
5,059,000
4.000%, 
3/27/2027
e
5,575,365
3,200,000
2.500%, 
9/1/2030
e
3,077,230
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Basic
Materials
(2.7%)
-
continued
Ingevity
Corporation
$
320,000
3.875%, 
11/1/2028
e
$
310,400
Kinross
Gold
Corporation
640,000
5.950%, 
3/15/2024
719,861
LYB
International
Finance
III,
LLC
3,100,000
3.375%, 
10/1/2040
3,065,738
Mosaic
Company
3,100,000
4.875%, 
11/15/2041
3,421,305
Novelis
Corporation
640,000
5.875%, 
9/30/2026
e
668,000
OCI
NV
320,000
4.625%, 
10/15/2025
e
330,800
Olin
Corporation
320,000
5.125%, 
9/15/2027
331,200
Steel
Dynamics,
Inc.
3,100,000
3.250%, 
10/15/2050
2,892,803
1,900,000
3.250%, 
1/15/2031
2,010,829
Syngenta
Finance
NV
3,175,000
4.441%, 
4/24/2023
e
3,326,266
3,100,000
5.182%, 
4/24/2028
e
3,351,348
Teck
Resources,
Ltd.
3,270,000
6.125%, 
10/1/2035
4,008,759
Tronox
Finance
plc
260,000
5.750%, 
10/1/2025
e
271,214
Vale
Overseas,
Ltd.
1,920,000
6.250%, 
8/10/2026
2,283,840
3,000,000
3.750%, 
7/8/2030
3,131,670
Westlake
Chemical
Corporation
3,200,000
3.600%, 
8/15/2026
3,458,953
WestRock
Company
1,270,000
3.750%, 
3/15/2025
1,385,865
Total
51,892,409
Capital
Goods
(3.5%)
Amsted
Industries,
Inc.
260,000
5.625%, 
7/1/2027
e
275,925
BAE
Systems
plc
3,050,000
3.400%, 
4/15/2030
e
3,237,453
2,600,000
1.900%, 
2/15/2031
e
2,439,709
Boeing
Company
2,400,000
5.930%, 
5/1/2060
3,079,501
3,100,000
5.040%, 
5/1/2027
3,534,210
1,600,000
5.150%, 
5/1/2030
1,842,793
5,000,000
5.705%, 
5/1/2040
6,118,632
Carrier
Global
Corporation
1,800,000
3.577%, 
4/5/2050
1,767,594
3,000,000
2.722%, 
2/15/2030
3,027,279
2,550,000
2.700%, 
2/15/2031
2,549,236
3,100,000
3.377%, 
4/5/2040
3,093,895
CNH
Industrial
NV
2,560,000
3.850%, 
11/15/2027
2,830,887
Crown
Cork
&
Seal
Company,
Inc.
640,000
7.375%, 
12/15/2026
770,400
General
Electric
Company
5,200,000
3.514%, 
(LIBOR
3M
+
3.330%),
6/15/2021
b,f
4,914,000
800,000
3.450%, 
5/1/2027
868,764
GFL
Environmental,
Inc.
320,000
3.500%, 
9/1/2028
e
310,400
Howmet
Aerospace,
Inc.
260,000
6.875%, 
5/1/2025
301,275
Huntington
Ingalls
Industries,
Inc.
1,900,000
3.844%, 
5/1/2025
2,073,007
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
112
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Capital
Goods
(3.5%)
-
continued
Northrop
Grumman
Corporation
$
2,250,000
3.250%, 
1/15/2028
$
2,413,665
Owens-Brockway
Glass
Container,
Inc.
450,000
5.875%, 
8/15/2023
e
482,062
Parker-Hannifin
Corporation
3,250,000
4.000%, 
6/14/2049
3,637,988
Raytheon
Technologies
Corporation
4,200,000
4.125%, 
11/16/2028
4,729,761
Roper
Technologies,
Inc.
2,240,000
3.800%, 
12/15/2026
2,485,658
SRM
Escrow
Issuer,
LLC
160,000
6.000%, 
11/1/2028
e
167,680
Textron,
Inc.
1,280,000
4.300%, 
3/1/2024
1,386,693
630,000
3.875%, 
3/1/2025
680,320
2,560,000
3.650%, 
3/15/2027
2,756,892
United
Rentals
North
America,
Inc.
640,000
4.000%, 
7/15/2030
651,360
United
Technologies
Corporation
1,925,000
3.950%, 
8/16/2025
2,137,971
1,925,000
4.450%, 
11/16/2038
2,230,253
Total
66,795,263
Collateralized
Mortgage
Obligations
(<0.1%)
GMAC
Mortgage
Corporation
Loan
Trust
99,406
0.609%, 
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,g
127,369
Wachovia
Mortgage
Loan
Trust,
LLC
303,730
2.689%, 
5/20/2036,
Ser.
2006-A,
Class
2A1
b
312,684
Total
440,053
Communications
Services
(8.5%)
AMC
Networks,
Inc.
320,000
4.250%, 
2/15/2029
311,200
American
Tower
Corporation
2,560,000
3.125%, 
1/15/2027
2,722,528
3,100,000
1.875%, 
10/15/2030
2,900,099
AT&T,
Inc.
5,208,000
3.650%, 
9/15/2059
e
4,760,469
2,481,000
4.300%, 
2/15/2030
2,793,039
3,250,000
2.750%, 
6/1/2031
3,236,957
5,987,000
2.550%, 
12/1/2033
e
5,684,003
3,190,000
4.300%, 
12/15/2042
3,477,507
4,650,000
3.100%, 
2/1/2043
4,338,734
3,200,000
4.500%, 
3/9/2048
3,509,855
CCO
Holdings,
LLC
380,000
5.500%, 
5/1/2026
e
391,894
640,000
4.750%, 
3/1/2030
e
663,200
260,000
4.500%, 
8/15/2030
e
264,992
Charter
Communications
Operating,
LLC
4,500,000
4.800%, 
3/1/2050
4,827,219
3,300,000
4.908%, 
7/23/2025
3,741,034
2,450,000
6.384%, 
10/23/2035
3,172,731
3,000,000
3.500%, 
6/1/2041
2,845,148
8,025,000
6.484%, 
10/23/2045
10,448,641
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Communications
Services
(8.5%)
-
continued
Comcast
Corporation
$
1,920,000
3.375%, 
8/15/2025
$
2,090,741
1,700,000
3.300%, 
4/1/2027
1,853,351
605,000
6.400%, 
5/15/2038
864,983
3,150,000
4.600%, 
10/15/2038
3,802,329
3,200,000
4.650%, 
7/15/2042
3,866,836
Cox
Communications,
Inc.
3,200,000
3.350%, 
9/15/2026
e
3,452,667
560,000
4.800%, 
2/1/2035
e
658,202
2,405,000
4.700%, 
12/15/2042
e
2,783,499
CSC
Holdings,
LLC
500,000
4.125%, 
12/1/2030
e
496,640
Cumulus
Media
New
Holdings,
Inc.
250,000
6.750%, 
7/1/2026
e
254,687
Discovery
Communications,
LLC
4,500,000
4.650%, 
5/15/2050
4,962,179
1,600,000
4.900%, 
3/11/2026
1,823,249
Fox
Corporation
3,200,000
5.476%, 
1/25/2039
3,991,826
Front
Range
BidCo,
Inc.
320,000
4.000%, 
3/1/2027
e
314,400
GCI,
LLC
100,000
4.750%, 
10/15/2028
e
102,375
Level
3
Financing,
Inc.
640,000
4.250%, 
7/1/2028
e
647,238
Meredith
Corporation
150,000
6.500%, 
7/1/2025
e
160,932
Nexstar
Escrow
Corporation
640,000
5.625%, 
7/15/2027
e
670,797
Nielsen
Finance,
LLC
150,000
5.625%, 
10/1/2028
e
157,687
Omnicom
Group,
Inc.
940,000
3.650%, 
11/1/2024
1,021,946
1,300,000
4.200%, 
6/1/2030
1,462,963
SBA
Communications
Corporation
320,000
3.125%, 
2/1/2029
e
307,568
SFR
Group
SA
320,000
7.375%, 
5/1/2026
e
332,832
Sinclair
Television
Group,
Inc.
640,000
5.875%, 
3/15/2026
e
651,200
Sirius
XM
Radio,
Inc.
640,000
4.125%, 
7/1/2030
e
640,736
Sprint
Capital
Corporation
230,000
6.875%, 
11/15/2028
290,023
4,800,000
8.750%, 
3/15/2032
7,098,000
Sprint
Corporation
5,852,000
7.125%, 
6/15/2024
6,737,115
600,000
7.625%, 
2/15/2025
715,500
Time
Warner
Entertainment
Company,
LP
1,720,000
8.375%, 
3/15/2023
1,971,762
T-Mobile
USA,
Inc.
6,450,000
3.750%, 
4/15/2027
e
7,050,882
1,250,000
2.550%, 
2/15/2031
e
1,224,613
1,800,000
3.000%, 
2/15/2041
e
1,670,670
VeriSign,
Inc.
640,000
4.750%, 
7/15/2027
679,200
Verizon
Communications,
Inc.
2,600,000
4.000%, 
3/22/2050
2,798,198
2,400,000
3.700%, 
3/22/2061
2,371,482
2,292,000
2.987%, 
10/30/2056
e
2,023,246
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
113
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Communications
Services
(8.5%)
-
continued
$
4,400,000
1.298%, 
(LIBOR
3M
+
1.100%),
5/15/2025
b
$
4,499,000
2,400,000
2.100%, 
3/22/2028
2,410,057
1,591,000
1.680%, 
10/30/2030
e
1,476,028
3,850,000
4.272%, 
1/15/2036
4,351,593
4,200,000
3.400%, 
3/22/2041
4,263,778
Viacom,
Inc.
3,200,000
4.375%, 
3/15/2043
3,453,008
ViaSat,
Inc.
140,000
5.625%, 
9/15/2025
e
142,304
Vodafone
Group
plc
2,150,000
5.000%, 
5/30/2038
2,592,055
VTR
Finance
NV
70,000
6.375%, 
7/15/2028
e
75,600
Walt
Disney
Company
1,900,000
7.625%, 
11/30/2028
2,594,095
3,900,000
3.500%, 
5/13/2040
4,123,822
Total
162,073,144
Consumer
Cyclical
(6.5%)
American
Honda
Finance
Corporation
2,600,000
2.150%, 
9/10/2024
2,710,203
Brookfield
Residential
Properties,
Inc.
400,000
6.250%, 
9/15/2027
e
417,500
Carnival
Corporation
320,000
11.500%, 
4/1/2023
e
366,800
Cedar
Fair,
LP
320,000
5.250%, 
7/15/2029
328,925
Choice
Hotels
International,
Inc.
3,100,000
3.700%, 
1/15/2031
3,259,464
Colt
Merger
Sub,
Inc.
320,000
6.250%, 
7/1/2025
e
341,125
CVS
Health
Corporation
1,950,000
4.250%, 
4/1/2050
2,188,883
1,300,000
3.625%, 
4/1/2027
1,426,842
Daimler
Finance
North
America,
LLC
1,900,000
1.750%, 
3/10/2023
e
1,942,256
Darden
Restaurants,
Inc.
3,600,000
3.850%, 
5/1/2027
3,918,953
Ford
Motor
Company
640,000
7.450%, 
7/16/2031
806,931
Ford
Motor
Credit
Company,
LLC
1,900,000
3.470%, 
4/5/2021
1,900,000
2,575,000
4.250%, 
9/20/2022
2,663,580
5,150,000
4.125%, 
8/17/2027
5,317,375
1,900,000
4.000%, 
11/13/2030
1,884,781
General
Motors
Company
1,300,000
6.125%, 
10/1/2025
1,528,681
6,425,000
6.800%, 
10/1/2027
7,970,614
1,230,000
5.000%, 
4/1/2035
1,416,768
General
Motors
Financial
Company,
Inc.
3,100,000
1.700%, 
8/18/2023
3,157,135
2,510,000
4.000%, 
1/15/2025
2,726,438
Hanesbrands,
Inc.
640,000
4.625%, 
5/15/2024
e
678,979
Home
Depot,
Inc.
3,250,000
2.500%, 
4/15/2027
3,420,822
3,180,000
4.250%, 
4/1/2046
3,742,245
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Consumer
Cyclical
(6.5%)
-
continued
Hyundai
Capital
America
$
1,225,000
1.250%, 
9/18/2023
e
$
1,233,860
2,800,000
2.375%, 
10/15/2027
e
2,808,524
3,500,000
1.800%, 
1/10/2028
e
3,346,781
Hyundai
Capital
Services,
Inc.
1,920,000
3.000%, 
3/6/2022
e
1,958,727
Kohl's
Corporation
4,400,000
9.500%, 
5/15/2025
5,705,140
3,900,000
3.375%, 
5/1/2031
3,903,052
3,100,000
5.550%, 
7/17/2045
h
3,512,067
L
Brands,
Inc.
320,000
6.625%, 
10/1/2030
e
365,376
Lennar
Corporation
1,900,000
4.500%, 
4/30/2024
2,066,763
3,700,000
4.750%, 
5/30/2025
4,120,875
Levi
Strauss
&
Company
400,000
3.500%, 
3/1/2031
e
386,000
Lowe's
Companies,
Inc.
1,900,000
5.000%, 
4/15/2040
2,329,895
Marriott
International
1,900,000
4.625%, 
6/15/2030
2,125,522
Marriott
International,
Inc.
2,700,000
5.750%, 
5/1/2025
3,098,231
Mastercard,
Inc.
1,900,000
3.850%, 
3/26/2050
2,152,985
McDonald's
Corporation
3,175,000
4.450%, 
3/1/2047
3,690,034
MDC
Holdings,
Inc.
4,800,000
2.500%, 
1/15/2031
4,524,000
Nissan
Motor
Company,
Ltd.
1,900,000
3.522%, 
9/17/2025
e
2,012,729
Owl
Rock
Capital
Corporation
4,850,000
3.400%, 
7/15/2026
4,912,463
Royal
Caribbean
Cruises,
Ltd.
320,000
9.125%, 
6/15/2023
e
352,618
Six
Flags
Entertainment
Corporation
110,000
5.500%, 
4/15/2027
e
113,988
Six
Flags
Theme
Parks,
Inc.
70,000
7.000%, 
7/1/2025
e
75,688
Staples,
Inc.
320,000
7.500%, 
4/15/2026
e
337,520
Toll
Brothers
Finance
Corporation
1,150,000
4.375%, 
4/15/2023
1,201,750
1,745,000
4.350%, 
2/15/2028
1,886,781
2,400,000
3.800%, 
11/1/2029
h
2,535,000
ViacomCBS,
Inc.
3,200,000
4.200%, 
5/19/2032
3,576,972
Volkswagen
Group
of
America
Finance,
LLC
2,800,000
4.250%, 
11/13/2023
e
3,043,010
3,000,000
3.350%, 
5/13/2025
e
3,221,136
Wyndham
Destinations,
Inc.
320,000
6.625%, 
7/31/2026
e
363,312
Total
125,076,099
Consumer
Non-Cyclical
(11.6%)
Abbott
Laboratories
2,901,000
3.750%, 
11/30/2026
3,256,259
1,440,000
4.750%, 
11/30/2036
1,781,894
2,500,000
6.000%, 
4/1/2039
3,549,621
AbbVie,
Inc.
4,460,000
3.200%, 
5/14/2026
4,818,207
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
114
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Consumer
Non-Cyclical
(11.6%)
-
continued
$
2,550,000
2.950%, 
11/21/2026
$
2,714,936
3,200,000
3.200%, 
11/21/2029
3,404,071
3,100,000
4.300%, 
5/14/2036
3,573,684
3,200,000
4.050%, 
11/21/2039
3,582,740
1,900,000
4.850%, 
6/15/2044
2,308,122
Altria
Group,
Inc.
2,750,000
5.800%, 
2/14/2039
3,355,767
Amgen,
Inc.
3,200,000
3.375%, 
2/21/2050
3,198,647
Anheuser-Busch
Companies,
LLC
3,210,000
4.700%, 
2/1/2036
3,760,414
Anheuser-Busch
InBev
Worldwide,
Inc.
3,825,000
4.000%, 
4/13/2028
4,262,861
4,500,000
3.500%, 
6/1/2030
4,873,303
2,550,000
4.600%, 
4/15/2048
2,919,189
3,200,000
4.439%, 
10/6/2048
3,594,119
4,800,000
5.550%, 
1/23/2049
6,193,968
AstraZeneca
plc
3,500,000
1.375%, 
8/6/2030
3,210,282
BAT
Capital
Corporation
2,550,000
3.222%, 
8/15/2024
2,716,677
3,250,000
4.700%, 
4/2/2027
3,658,350
5,000,000
2.259%, 
3/25/2028
4,922,758
Bausch
Health
Companies,
Inc.
50,000
5.000%, 
1/30/2028
e
50,625
320,000
5.000%, 
2/15/2029
e
317,800
Baxalta,
Inc.
1,511,000
4.000%, 
6/23/2025
1,674,852
Becton,
Dickinson
and
Company
6,200,000
3.794%, 
5/20/2050
6,587,166
3,850,000
3.700%, 
6/6/2027
4,246,623
Boston
Scientific
Corporation
1,950,000
3.750%, 
3/1/2026
2,152,998
Cargill,
Inc.
3,250,000
3.250%, 
5/23/2029
e
3,484,760
Centene
Corporation
1,900,000
5.375%, 
6/1/2026
e
1,986,830
160,000
4.250%, 
12/15/2027
168,300
480,000
4.625%, 
12/15/2029
519,506
7,105,000
3.375%, 
2/15/2030
7,171,574
3,000,000
2.500%, 
3/1/2031
2,865,060
Cigna
Corporation
3,200,000
4.125%, 
11/15/2025
3,568,013
3,850,000
2.400%, 
3/15/2030
3,817,387
3,200,000
4.800%, 
8/15/2038
3,824,632
Constellation
Brands,
Inc.
1,700,000
4.400%, 
11/15/2025
1,916,071
640,000
3.500%, 
5/9/2027
698,125
3,300,000
5.250%, 
11/15/2048
4,184,322
CVS
Health
Corporation
1,600,000
3.875%, 
7/20/2025
1,768,571
5,210,000
5.050%, 
3/25/2048
6,396,003
DENTSPLY
SIRONA,
Inc.
2,500,000
3.250%, 
6/1/2030
2,613,893
Encompass
Health
Corporation
350,000
4.500%, 
2/1/2028
358,442
HCA,
Inc.
510,000
5.375%, 
2/1/2025
568,913
6,000,000
5.875%, 
2/15/2026
6,877,500
1,800,000
5.500%, 
6/15/2047
2,238,830
HLF
Financing
SARL,
LLC
250,000
7.250%, 
8/15/2026
e
261,875
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Consumer
Non-Cyclical
(11.6%)
-
continued
Imperial
Brands
Finance
plc
$
3,200,000
3.500%, 
7/26/2026
e
$
3,419,320
Imperial
Tobacco
Finance
plc
2,190,000
3.750%, 
7/21/2022
e
2,262,178
JBS
USA,
LLC
320,000
6.500%, 
4/15/2029
e
361,440
Keurig
Dr.
Pepper,
Inc.
3,250,000
3.800%, 
5/1/2050
3,454,280
Kraft
Foods
Group,
Inc.
230,000
5.000%, 
6/4/2042
258,842
Kraft
Heinz
Foods
Company
1,900,000
5.500%, 
6/1/2050
2,325,983
1,184,000
3.000%, 
6/1/2026
1,245,977
450,000
3.750%, 
4/1/2030
477,606
Kroger
Company
3,200,000
2.650%, 
10/15/2026
3,375,310
Mylan,
Inc.
2,500,000
4.550%, 
4/15/2028
2,823,238
3,200,000
5.200%, 
4/15/2048
3,680,411
Nestle
Holdings,
Inc.
3,850,000
3.900%, 
9/24/2038
e
4,417,364
Par
Pharmaceutical,
Inc.
640,000
7.500%, 
4/1/2027
e
678,816
Perrigo
Finance
Unlimited
Company
1,900,000
3.150%, 
6/15/2030
1,865,634
QBE
Insurance
Group,
Ltd.
2,575,000
5.875%, 
5/12/2025
b,e,f,h
2,771,344
Reckitt
Benckiser
Treasury
Services
plc
2,880,000
2.750%, 
6/26/2024
e
3,047,398
Reynolds
American,
Inc.
1,560,000
5.850%, 
8/15/2045
1,838,811
Royalty
Pharma
plc
2,550,000
1.750%, 
9/2/2027
e
2,476,280
2,450,000
2.200%, 
9/2/2030
e
2,338,011
3,000,000
3.300%, 
9/2/2040
e
2,892,000
Shire
Acquisitions
Investments
Ireland
Designated
Activity
Company
3,200,000
2.875%, 
9/23/2023
3,362,433
Smithfield
Foods,
Inc.
1,200,000
3.000%, 
10/15/2030
e
1,193,388
Sysco
Corporation
3,700,000
6.600%, 
4/1/2050
5,344,172
1,768,000
4.850%, 
10/1/2045
2,094,425
Teleflex,
Inc.
400,000
4.250%, 
6/1/2028
e
414,500
Tenet
Healthcare
Corporation
640,000
5.125%, 
11/1/2027
e
669,248
Thermo
Fisher
Scientific,
Inc.
1,280,000
2.950%, 
9/19/2026
1,370,443
Tyson
Foods,
Inc.
1,280,000
3.550%, 
6/2/2027
1,397,556
UnitedHealth
Group,
Inc.
3,200,000
2.950%, 
10/15/2027
3,434,913
1,240,000
4.750%, 
7/15/2045
1,562,578
3,225,000
4.450%, 
12/15/2048
3,954,446
Upjohn,
Inc.
1,900,000
4.000%, 
6/22/2050
e
1,936,198
VRX
Escrow
Corporation
320,000
6.125%, 
4/15/2025
e
328,064
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
115
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Consumer
Non-Cyclical
(11.6%)
-
continued
Zimmer
Biomet
Holdings,
Inc.
$
3,900,000
3.550%, 
3/20/2030
$
4,169,503
Total
223,216,650
Energy
(9.7%)
Antero
Resources
Corporation
105,000
5.000%, 
3/1/2025
105,081
Apache
Corporation
270,000
4.875%, 
11/15/2027
276,750
Baker
Hughes,
LLC
2,575,000
4.486%, 
5/1/2030
2,933,410
BP
Capital
Markets
America,
Inc.
3,200,000
3.000%, 
2/24/2050
2,933,075
2,560,000
3.017%, 
1/16/2027
2,736,142
1,950,000
3.543%, 
4/6/2027
2,134,327
BP
Capital
Markets
plc
2,490,000
3.814%, 
2/10/2024
2,714,083
Buckeye
Partners,
LP
350,000
4.125%, 
3/1/2025
e
357,102
Canadian
Natural
Resources,
Ltd.
3,200,000
2.950%, 
7/15/2030
3,191,723
Cenovus
Energy,
Inc.
2,400,000
5.375%, 
7/15/2025
2,697,155
Cheniere
Corpus
Christi
Holdings,
LLC
3,250,000
3.700%, 
11/15/2029
3,425,366
Cheniere
Energy
Partners,
LP
4,560,000
4.500%, 
10/1/2029
4,728,811
Chevron
USA,
Inc.
3,240,000
3.900%, 
11/15/2024
3,567,495
Cimarex
Energy
Company
3,600,000
4.375%, 
6/1/2024
3,915,250
CNX
Resources
Corporation
320,000
6.000%, 
1/15/2029
e
332,538
Continental
Resources,
Inc.
2,419,000
4.500%, 
4/15/2023
2,505,358
Devon
Energy
Corporation
2,290,000
7.950%, 
4/15/2032
3,070,998
Devon
Financing
Corporation,
ULC
1,900,000
7.875%, 
9/30/2031
2,545,807
Diamondback
Energy,
Inc.
4,600,000
3.500%, 
12/1/2029
4,774,104
1,050,000
3.125%, 
3/24/2031
1,048,263
El
Paso
Pipeline
Partners
Operating
Company,
LLC
1,280,000
4.700%, 
11/1/2042
1,377,485
Enagas
SA
320,000
5.500%, 
1/15/2028
e
312,528
Enbridge,
Inc.
1,850,000
5.750%, 
7/15/2080
b
1,979,500
Energy
Transfer
Operating,
LP
4,150,000
3.750%, 
5/15/2030
4,278,517
1,500,000
6.000%, 
6/15/2048
1,725,491
Energy
Transfer
Partners,
LP
4,480,000
4.200%, 
4/15/2027
4,882,183
Enterprise
Products
Operating,
LLC
3,700,000
3.200%, 
2/15/2052
3,375,110
2,490,000
3.700%, 
2/15/2026
2,732,193
3,200,000
4.875%, 
8/16/2077
b
3,009,331
EOG
Resources,
Inc.
900,000
4.950%, 
4/15/2050
1,097,878
3,500,000
4.375%, 
4/15/2030
4,018,056
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Energy
(9.7%)
-
continued
EQM
Midstream
Partners,
LP
$
320,000
5.500%, 
7/15/2028
$
335,917
EQT
Corporation
640,000
3.900%, 
10/1/2027
652,800
Equinor
ASA
3,900,000
3.000%, 
4/6/2027
4,176,553
2,575,000
3.125%, 
4/6/2030
2,722,798
Marathon
Petroleum
Corporation
2,560,000
4.750%, 
12/15/2023
2,811,706
3,220,000
6.500%, 
3/1/2041
4,280,817
MPLX,
LP
2,550,000
3.500%, 
12/1/2022
2,660,848
2,550,000
4.875%, 
6/1/2025
2,872,183
3,250,000
4.800%, 
2/15/2029
3,726,728
1,920,000
5.200%, 
3/1/2047
2,196,182
Murphy
Oil
Corporation
250,000
5.875%, 
12/1/2027
245,000
National
Fuel
Gas
Company
5,186,000
5.500%, 
1/15/2026
5,926,777
Newfield
Exploration
Company
2,320,000
5.625%, 
7/1/2024
2,550,435
4,756,000
5.375%, 
1/1/2026
5,241,235
ONEOK,
Inc.
1,900,000
2.200%, 
9/15/2025
1,934,532
5,000,000
6.350%, 
1/15/2031
6,278,019
Petroleos
Mexicanos
5,100,000
6.500%, 
3/13/2027
5,329,500
Pioneer
Natural
Resources
Company
1,800,000
2.150%, 
1/15/2031
1,701,749
Plains
All
American
Pipeline,
LP
3,200,000
4.500%, 
12/15/2026
3,511,194
1,200,000
3.550%, 
12/15/2029
1,196,471
3,200,000
3.800%, 
9/15/2030
3,258,962
Sabine
Pass
Liquefaction,
LLC
1,910,000
5.750%, 
5/15/2024
2,155,143
1,300,000
4.500%, 
5/15/2030
1,458,844
Schlumberger
Holdings
Corporation
3,250,000
3.900%, 
5/17/2028
e
3,537,550
Suncor
Energy,
Inc.
1,920,000
3.600%, 
12/1/2024
2,087,517
2,900,000
3.100%, 
5/15/2025
3,097,007
Sunoco
Logistics
Partners
Operations,
LP
4,500,000
4.000%, 
10/1/2027
4,839,486
Sunoco,
LP
640,000
6.000%, 
4/15/2027
669,600
Weatherford
International,
Ltd.
320,000
8.750%, 
9/1/2024
e
334,752
Western
Gas
Partners,
LP
6,800,000
4.650%, 
7/1/2026
7,172,096
Williams
Companies,
Inc.
3,200,000
7.500%, 
1/15/2031
4,237,994
Williams
Partners,
LP
1,930,000
4.500%, 
11/15/2023
2,101,747
1,600,000
3.750%, 
6/15/2027
1,744,122
3,000,000
4.850%, 
3/1/2048
3,330,655
WPX
Energy,
Inc.
3,062,000
5.250%, 
9/15/2024
3,394,992
3,185,000
4.500%, 
1/15/2030
3,429,576
Total
185,982,597
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
116
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Financials
(28.6%)
AerCap
Ireland
Capital
DAC
$
2,400,000
6.500%, 
7/15/2025
$
2,797,868
2,500,000
4.625%, 
10/15/2027
2,742,382
3,800,000
3.875%, 
1/23/2028
h
3,981,759
AIA
Group,
Ltd.
3,100,000
3.200%, 
9/16/2040
e
3,049,797
Air
Lease
Corporation
2,510,000
3.750%, 
2/1/2022
2,562,686
1,260,000
4.250%, 
9/15/2024
1,376,482
4,100,000
4.650%, 
6/15/2026
b,f
4,048,750
1,850,000
3.625%, 
4/1/2027
1,946,093
Aircastle,
Ltd.
1,850,000
5.250%, 
8/11/2025
e
2,019,898
3,500,000
2.850%, 
1/26/2028
e
3,348,528
Ally
Financial,
Inc.
2,750,000
5.750%, 
11/20/2025
3,124,213
5,000,000
8.000%, 
11/1/2031
6,963,369
American
International
Group,
Inc.
2,700,000
4.200%, 
4/1/2028
3,032,183
Ares
Capital
Corporation
3,600,000
3.875%, 
1/15/2026
3,794,008
2,950,000
2.150%, 
7/15/2026
2,872,780
Associated
Banc-Corporation
3,150,000
4.250%, 
1/15/2025
3,393,772
Australia
and
New
Zealand
Banking
Group,
Ltd.
3,200,000
2.950%, 
7/22/2030
b,e
3,307,232
2,500,000
2.570%, 
11/25/2035
b,e
2,349,850
Aviation
Capital
Group,
LLC
2,800,000
5.500%, 
12/15/2024
e
3,130,792
Avolon
Holdings
Funding,
Ltd.
1,300,000
5.250%, 
5/15/2024
e
1,404,166
1,800,000
5.500%, 
1/15/2026
e
1,991,515
1,500,000
4.250%, 
4/15/2026
e
1,571,125
6,400,000
4.375%, 
5/1/2026
e
6,690,520
Banco
Bilbao
Vizcaya
Argentaria
SA
2,600,000
6.500%, 
3/5/2025
b,f
2,812,160
Banco
del
Estado
de
Chile
3,850,000
2.704%, 
1/9/2025
e
4,013,210
Banco
Santander
SA
3,200,000
2.746%, 
5/28/2025
3,343,453
1,800,000
4.379%, 
4/12/2028
2,005,877
2,000,000
3.490%, 
5/28/2030
2,082,187
Bank
of
America
Corporation
2,830,000
4.200%, 
8/26/2024
3,121,364
2,860,000
6.500%, 
10/23/2024
b,f,h
3,203,200
3,200,000
4.000%, 
1/22/2025
3,504,352
2,750,000
3.950%, 
4/21/2025
3,015,260
9,400,000
3.705%, 
4/24/2028
b
10,281,673
2,550,000
4.271%, 
7/23/2029
b
2,866,984
3,970,000
3.194%, 
7/23/2030
b
4,167,421
6,200,000
1.922%, 
10/24/2031
b
5,834,607
1,800,000
4.244%, 
4/24/2038
b
2,047,631
1,860,000
2.831%, 
10/24/2051
b
1,707,629
Bank
of
New
York
Mellon
Corporation
1,925,000
4.700%, 
9/20/2025
b,f
2,085,641
Bank
of
Nova
Scotia
4,250,000
4.900%, 
6/4/2025
b,f
4,518,303
Barclays
Bank
plc
1,910,000
10.179%, 
6/12/2021
e
1,942,796
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Financials
(28.6%)
-
continued
Barclays
plc
$
3,200,000
7.875%, 
3/15/2022
b,f
$
3,364,000
650,000
8.000%, 
6/15/2024
b,f
721,500
3,100,000
6.125%, 
12/15/2025
b,f
3,385,200
1,280,000
4.836%, 
5/9/2028
1,426,774
2,400,000
4.972%, 
5/16/2029
b
2,759,617
3,100,000
2.645%, 
6/24/2031
b
3,045,861
Berkshire
Hathaway
Finance
Corporation
3,100,000
2.850%, 
10/15/2050
2,857,245
1,950,000
4.250%, 
1/15/2049
2,257,472
Boston
Properties,
LP
1,900,000
3.250%, 
1/30/2031
1,966,965
BPCE
SA
1,265,000
5.700%, 
10/22/2023
e
1,413,442
2,190,000
5.150%, 
7/21/2024
e
2,451,624
Brandywine
Operating
Partnership,
LP
3,100,000
3.950%, 
11/15/2027
3,291,933
Brixmor
Operating
Partnership,
LP
1,500,000
2.250%, 
4/1/2028
1,471,822
CANPACK
SA
320,000
3.125%, 
11/1/2025
e
324,800
Capital
One
Bank
USA
NA
2,000,000
3.375%, 
2/15/2023
2,100,781
Capital
One
Financial
Corporation
3,190,000
4.200%, 
10/29/2025
3,530,787
Charles
Schwab
Corporation
2,550,000
5.375%, 
6/1/2025
b,f
2,816,909
1,750,000
4.000%, 
6/1/2026
b,f
1,775,900
3,100,000
4.000%, 
12/1/2030
b,f
3,047,300
CIT
Group,
Inc.
1,930,000
5.250%, 
3/7/2025
2,173,663
3,600,000
6.125%, 
3/9/2028
4,311,000
Citigroup,
Inc.
3,200,000
4.700%, 
1/30/2025
b,f
3,222,400
4,370,000
4.400%, 
6/10/2025
4,856,042
3,305,000
5.500%, 
9/13/2025
3,830,732
3,700,000
4.000%, 
12/10/2025
b,f
3,736,075
2,490,000
4.450%, 
9/29/2027
2,810,180
2,500,000
3.668%, 
7/24/2028
b
2,734,057
3,749,000
3.520%, 
10/27/2028
b
4,055,256
3,000,000
4.075%, 
4/23/2029
b
3,337,501
CNA
Financial
Corporation
1,870,000
7.250%, 
11/15/2023
2,182,711
650,000
3.950%, 
5/15/2024
706,109
3,250,000
3.450%, 
8/15/2027
3,541,316
Comerica,
Inc.
2,100,000
5.625%, 
7/1/2025
b,f
2,312,625
Commerzbank
AG
3,200,000
8.125%, 
9/19/2023
e
3,661,120
CoreStates
Capital
III
2,440,000
0.768%, 
(LIBOR
3M
+
0.570%),
2/15/2027
b,e
2,359,474
Corporate
Office
Properties,
LP
2,175,000
2.250%, 
3/15/2026
2,210,172
Credit
Acceptance
Corporation
160,000
5.125%, 
12/31/2024
e
163,200
Credit
Agricole
SA
3,800,000
3.250%, 
1/14/2030
e
3,906,446
Credit
Suisse
Group
AG
3,950,000
7.500%, 
7/17/2023
b,e,f
4,176,572
3,850,000
2.193%, 
6/5/2026
b,e
3,912,600
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
117
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Financials
(28.6%)
-
continued
$
3,700,000
5.250%, 
2/11/2027
b,e,f
$
3,737,000
3,100,000
4.282%, 
1/9/2028
e
3,408,168
Danske
Bank
AS
5,600,000
5.000%, 
1/12/2023
b,e
5,777,995
1,950,000
3.244%, 
12/20/2025
b,e
2,076,263
Deutsche
Bank
AG
7,000,000
6.000%, 
10/30/2025
b,f
7,087,500
2,600,000
3.961%, 
11/26/2025
b
2,815,233
Discover
Bank
1,635,000
4.200%, 
8/8/2023
1,764,130
2,600,000
2.450%, 
9/12/2024
2,721,525
4,490,000
4.682%, 
8/9/2028
b
4,789,034
Diversified
Healthcare
Trust
320,000
4.375%, 
3/1/2031
312,346
Drawbridge
Special
Opportunities
Fund,
LP
480,000
3.875%, 
2/15/2026
e
492,363
Duke
Realty,
LP
1,750,000
1.750%, 
2/1/2031
1,625,523
Fidelity
National
Financial,
Inc.
1,250,000
5.500%, 
9/1/2022
1,334,660
First
Horizon
National
Corporation
3,900,000
4.000%, 
5/26/2025
4,280,085
Five
Corners
Funding
Trust
5,110,000
4.419%, 
11/15/2023
e
5,605,493
GE
Capital
Funding,
LLC
3,900,000
4.050%, 
5/15/2027
e
4,345,627
1,900,000
4.400%, 
5/15/2030
e
2,151,090
GE
Capital
International
Funding
Company
5,200,000
4.418%, 
11/15/2035
5,952,752
General
Electric
Capital
Corporation
2,400,000
5.875%, 
1/14/2038
3,105,760
Glitnir
HoldCo
ehf.,
Convertible
362
Zero
Coupon, 
12/31/2030
i
0
Global
Net
Lease,
Inc.
320,000
3.750%, 
12/15/2027
e
311,912
Goldman
Sachs
Group,
Inc.
3,200,000
4.950%, 
2/10/2025
b,f
3,384,960
2,490,000
4.250%, 
10/21/2025
2,779,340
3,100,000
3.691%, 
6/5/2028
b
3,391,905
4,250,000
3.814%, 
4/23/2029
b
4,656,401
3,100,000
4.223%, 
5/1/2029
b
3,477,630
Healthpeak
Properties,
Inc.
1,950,000
2.875%, 
1/15/2031
1,965,844
HSBC
Holdings
plc
1,280,000
6.875%, 
6/1/2021
b,f
1,291,136
3,200,000
1.189%, 
(LIBOR
3M
+
1.000%),
5/18/2024
b
3,233,016
2,560,000
4.300%, 
3/8/2026
2,865,696
1,800,000
4.000%, 
3/9/2026
b,f
1,791,000
1,600,000
6.000%, 
5/22/2027
b,f
1,751,600
1,920,000
4.041%, 
3/13/2028
b
2,101,925
2,100,000
4.600%, 
12/17/2030
b,f
2,076,375
Icahn
Enterprises,
LP
640,000
6.250%, 
5/15/2026
670,400
ING
Groep
NV
4,500,000
4.100%, 
10/2/2023
4,871,766
J.P.
Morgan
Chase
&
Company
1,850,000
5.150%, 
5/1/2023
b,f
1,913,640
1,250,000
6.000%, 
8/1/2023
b,f
1,310,291
1,270,000
6.750%, 
2/1/2024
b,f
1,390,650
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Financials
(28.6%)
-
continued
$
5,000,000
5.000%, 
8/1/2024
b,f
$
5,168,750
3,200,000
4.600%, 
2/1/2025
b,f
3,236,000
3,200,000
2.950%, 
10/1/2026
3,422,778
3,200,000
2.956%, 
5/13/2031
b
3,259,172
2,600,000
3.882%, 
7/24/2038
b
2,885,218
3,150,000
5.500%, 
10/15/2040
4,126,414
Kilroy
Realty,
LP
2,550,000
4.250%, 
8/15/2029
2,799,055
Kimco
Realty
Corporation
5,100,000
3.300%, 
2/1/2025
5,464,361
Liberty
Mutual
Group,
Inc.
1,935,000
4.950%, 
5/1/2022
e
2,024,543
Lloyds
Bank
plc
1,910,000
4.650%, 
3/24/2026
2,138,700
Lloyds
Banking
Group
plc
1,950,000
7.500%, 
6/27/2024
b,f
2,174,250
1,300,000
7.500%, 
9/27/2025
b,f
1,485,250
1,900,000
2.438%, 
2/5/2026
b
1,967,715
LPL
Holdings,
Inc.
320,000
4.000%, 
3/15/2029
e
322,400
Marsh
&
McLennan
Companies,
Inc.
1,700,000
4.375%, 
3/15/2029
1,949,094
MetLife,
Inc.
2,550,000
3.850%, 
9/15/2025
b,f
2,632,875
MGM
Growth
Properties
Operating
Partnership,
LP
640,000
4.500%, 
9/1/2026
669,818
Mizuho
Financial
Group,
Inc.
3,100,000
1.979%, 
9/8/2031
b
2,923,742
Morgan
Stanley
3,100,000
4.051%, 
(LIBOR
3M
+
3.810%),
4/15/2021
b,f
3,100,000
2,000,000
2.720%, 
7/22/2025
b
2,109,838
1,870,000
4.000%, 
7/23/2025
2,075,242
1,860,000
5.300%, 
12/15/2025
b,f
1,911,150
1,280,000
3.125%, 
7/27/2026
1,377,638
2,510,000
4.350%, 
9/8/2026
2,835,937
4,600,000
3.622%, 
4/1/2031
b
4,994,425
3,100,000
1.794%, 
2/13/2032
b
2,893,412
1,570,000
4.300%, 
1/27/2045
1,839,379
MPT
Operating
Partnership,
LP
640,000
5.000%, 
10/15/2027
673,283
Nationwide
Building
Society
2,490,000
3.900%, 
7/21/2025
e
2,752,573
1,920,000
4.000%, 
9/14/2026
e
2,103,288
Nationwide
Mutual
Insurance
Company
3,225,000
4.350%, 
4/30/2050
e
3,385,209
Natwest
Group
plc
5,100,000
3.032%, 
11/28/2035
b
4,865,808
Nippon
Life
Insurance
Company
1,750,000
5.100%, 
10/16/2044
b,e
1,933,750
2,550,000
3.400%, 
1/23/2050
b,e
2,594,625
Omega
Healthcare
Investors,
Inc.
5,600,000
3.375%, 
2/1/2031
5,554,458
Owl
Rock
Technology
Finance
Corporation
1,500,000
3.750%, 
6/17/2026
e
1,533,980
Park
Aerospace
Holdings,
Ltd.
1,300,000
4.500%, 
3/15/2023
e
1,357,694
Peachtree
Corners
Funding
Trust
2,800,000
3.976%, 
2/15/2025
e
3,062,793
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
118
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Financials
(28.6%)
-
continued
Preferred
Term
Securities
XXIII,
Ltd.
$
187,303
0.384%, 
(LIBOR
3M
+
0.200%),
12/22/2036
b,e
$
157,263
Prudential
Financial,
Inc.
3,800,000
3.700%, 
3/13/2051
4,022,748
1,200,000
5.200%, 
3/15/2044
b
1,277,801
2,750,000
3.700%, 
10/1/2050
b
2,780,800
Realty
Income
Corporation
3,830,000
3.875%, 
7/15/2024
4,187,653
Regency
Centers,
LP
2,560,000
3.600%, 
2/1/2027
2,770,936
Regions
Financial
Corporation
2,600,000
5.750%, 
6/15/2025
b,f,h
2,863,250
Reinsurance
Group
of
America,
Inc.
3,050,000
4.700%, 
9/15/2023
3,340,942
Royal
Bank
of
Scotland
Group
plc
1,920,000
8.625%, 
8/15/2021
b,f
1,965,600
2,750,000
4.269%, 
3/22/2025
b
2,999,892
3,900,000
6.000%, 
12/29/2025
b,f,h
4,279,080
1,000,000
3.754%, 
11/1/2029
b
1,062,830
Santander
Holdings
USA,
Inc.
2,400,000
3.450%, 
6/2/2025
2,571,963
Santander
UK
Group
Holdings
plc
2,500,000
4.750%, 
9/15/2025
e
2,770,670
Service
Properties
Trust
240,000
4.750%, 
10/1/2026
234,000
Societe
Generale
SA
3,100,000
5.375%, 
11/18/2030
b,e,f,h
3,189,125
Spirit
Realty,
LP
3,750,000
3.400%, 
1/15/2030
3,889,112
1,850,000
3.200%, 
2/15/2031
1,851,858
Standard
Chartered
plc
2,700,000
2.744%, 
9/10/2022
b,e
2,723,892
3,250,000
1.374%, 
(LIBOR
3M
+
1.150%),
1/20/2023
b,e
3,271,348
1,800,000
4.750%, 
1/14/2031
b,e,f,h
1,793,700
Synchrony
Financial
1,950,000
4.250%, 
8/15/2024
2,121,224
1,950,000
3.950%, 
12/1/2027
2,101,038
Truist
Financial
Corporation
1,450,000
4.950%, 
9/1/2025
b,f
1,571,438
UBS
Group
Funding
Jersey,
Ltd.
2,490,000
4.125%, 
9/24/2025
e
2,763,785
UBS
Group
Funding
Switzerland
AG
2,560,000
4.253%, 
3/23/2028
e
2,888,738
Ventas
Realty,
LP
1,280,000
3.500%, 
2/1/2025
1,382,120
VEREIT
Operating
Partnership,
LP
1,250,000
4.625%, 
11/1/2025
1,410,947
3,100,000
3.400%, 
1/15/2028
3,268,857
1,850,000
2.850%, 
12/15/2032
1,791,637
VICI
Properties,
LP
180,000
4.250%, 
12/1/2026
e
184,155
180,000
4.625%, 
12/1/2029
e
186,725
Wells
Fargo
&
Company
3,300,000
3.900%, 
3/15/2026
b,f
3,332,670
2,560,000
3.000%, 
4/22/2026
2,735,649
3,200,000
2.393%, 
6/2/2028
b
3,279,660
4,250,000
4.478%, 
4/4/2031
b
4,894,167
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Financials
(28.6%)
-
continued
Welltower,
Inc.
$
2,200,000
4.000%, 
6/1/2025
$
2,418,425
Westpac
Banking
Corporation
2,900,000
2.894%, 
2/4/2030
b
2,987,029
3,150,000
2.963%, 
11/16/2040
2,930,401
Total
548,738,478
Foreign
Government
(0.2%)
Dominican
Republic
Government
International
Bond
950,000
6.000%, 
7/19/2028
e
1,070,175
Qatar
Government
International
Bond
1,900,000
4.500%, 
4/23/2028
e
2,213,804
Total
3,283,979
Mortgage-Backed
Securities
(2.3%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
6,363,592
3.000%, 
3/25/2050
6,641,530
1,309,284
3.000%, 
4/1/2050
1,367,334
3,049,277
3.500%, 
7/1/2047
3,237,110
Federal
National
Mortgage
Association
718,345
4.500%, 
5/1/2048
784,078
2,428,947
3.500%, 
10/1/2048
2,565,526
1,919,693
3.500%, 
6/1/2049
2,031,927
2,812,526
3.500%, 
8/1/2049
2,976,411
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
2,000,000
1.500%, 
4/1/2036
d
2,009,029
2,550,000
2.000%, 
4/1/2036
d
2,616,995
2,500,000
2.500%, 
4/1/2036
d
2,601,074
3,125,000
2.000%, 
5/1/2036
d
3,203,163
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,500,000
2.000%, 
4/1/2051
d
2,495,313
2,800,000
2.000%, 
5/1/2051
d
2,789,609
6,325,000
2.500%, 
5/1/2051
d
6,476,948
2,179,829
4.000%, 
7/1/2048
2,339,657
Total
44,135,704
Technology
(4.8%)
Apple,
Inc.
4,450,000
3.250%, 
2/23/2026
4,860,363
1,920,000
3.750%, 
9/12/2047
2,123,673
Baidu,
Inc.
1,900,000
2.375%, 
10/9/2030
h
1,832,461
Broadcom
Corporation
3,618,000
3.875%, 
1/15/2027
3,928,805
3,200,000
3.500%, 
1/15/2028
3,397,494
Broadcom,
Inc.
7,882,000
3.469%, 
4/15/2034
e
7,908,949
3,200,000
5.000%, 
4/15/2030
3,647,092
Dell
International,
LLC/
EMC
Corporation
1,300,000
6.100%, 
7/15/2027
e
1,562,796
Diamond
1
Finance
Corporation
187,000
5.875%, 
6/15/2021
e
187,234
6,725,000
6.020%, 
6/15/2026
e
7,961,370
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
119
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Technology
(4.8%)
-
continued
Diamond
Sports
Group,
LLC
$
320,000
6.625%, 
8/15/2027
e
$
166,400
Fiserv,
Inc.
3,225,000
3.200%, 
7/1/2026
3,480,866
7,000,000
2.650%, 
6/1/2030
7,049,866
Gartner,
Inc.
320,000
3.750%, 
10/1/2030
e
317,354
Hewlett
Packard
Enterprise
Company
2,600,000
4.650%, 
10/1/2024
2,902,388
Iron
Mountain,
Inc.
640,000
4.875%, 
9/15/2029
e
647,968
Lam
Research
Corporation
3,250,000
4.000%, 
3/15/2029
3,680,421
Marvell
Technology
Group,
Ltd.
1,900,000
4.875%, 
6/22/2028
2,177,972
Micron
Technology,
Inc.
3,250,000
5.327%, 
2/6/2029
3,823,405
NXP
Funding,
LLC
3,250,000
4.875%, 
3/1/2024
e
3,612,232
3,250,000
5.350%, 
3/1/2026
e
3,793,194
1,900,000
3.150%, 
5/1/2027
e
2,019,021
Oracle
Corporation
3,900,000
2.800%, 
4/1/2027
4,107,256
3,200,000
4.300%, 
7/8/2034
3,600,244
Panasonic
Corporation
2,900,000
3.113%, 
7/19/2029
e
3,019,813
SK
Hynix,
Inc.
4,200,000
2.375%, 
1/19/2031
e
3,971,503
Switch,
Ltd.
265,000
3.750%, 
9/15/2028
e
260,951
Teledyne
Technologies,
Inc.
3,000,000
2.250%, 
4/1/2028
2,985,540
Texas
Instruments,
Inc.
3,200,000
4.150%, 
5/15/2048
3,807,040
Total
92,833,671
Transportation
(2.3%)
AerCap
Holdings
NV
3,200,000
5.875%, 
10/10/2079
b
3,291,856
Aircastle,
Ltd.
1,515,000
4.400%, 
9/25/2023
1,613,501
Boeing
Company
1,600,000
5.805%, 
5/1/2050
2,014,321
6,200,000
3.250%, 
2/1/2028
6,413,034
Burlington
Northern
Santa
Fe,
LLC
2,500,000
4.700%, 
9/1/2045
3,055,296
3,200,000
4.050%, 
6/15/2048
3,586,869
CSX
Corporation
1,900,000
2.400%, 
2/15/2030
1,910,525
Delta
Air
Lines,
Inc.
1,182,882
4.250%, 
7/30/2023
1,208,998
500,000
7.000%, 
5/1/2025
e
575,979
3,000,000
7.375%, 
1/15/2026
3,507,885
3,650,000
4.750%, 
10/20/2028
e
3,968,995
ERAC
USA
Finance,
LLC
4,030,000
4.200%, 
11/1/2046
e
4,494,280
Southwest
Airlines
Company
2,725,000
5.250%, 
5/4/2025
3,100,555
3,800,000
5.125%, 
6/15/2027
4,368,744
United
Airlines
Pass
Through
Trust
1,097,815
3.750%, 
9/3/2026
1,139,031
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Transportation
(2.3%)
-
continued
XPO
Logistics,
Inc.
$
640,000
6.125%, 
9/1/2023
e
$
651,187
Total
44,901,056
U.S.
Government
&
Agencies
(3.4%)
U.S.
Treasury
Bonds
23,000,000
1.875%, 
2/15/2051
20,412,500
43,000,000
1.625%, 
11/15/2050
35,831,094
8,000,000
1.500%, 
2/15/2030
7,901,562
Total
64,145,156
Utilities
(7.2%)
Ameren
Illinois
Company
1,950,000
4.500%, 
3/15/2049
2,347,308
American
Water
Capital
Corporation
3,200,000
3.450%, 
5/1/2050
3,235,607
Arizona
Public
Service
Company
3,200,000
3.500%, 
12/1/2049
3,262,287
Baltimore
Gas
and
Electric
Company
2,560,000
2.400%, 
8/15/2026
2,676,038
Berkshire
Hathaway
Energy
Company
2,575,000
4.450%, 
1/15/2049
3,017,576
CenterPoint
Energy
Resources
Corporation
2,800,000
1.750%, 
10/1/2030
2,570,684
CenterPoint
Energy,
Inc.
3,250,000
2.950%, 
3/1/2030
3,334,952
CMS
Energy
Corporation
2,560,000
3.450%, 
8/15/2027
2,813,063
Consolidated
Edison
Company
of
New
York,
Inc.
1,280,000
2.900%, 
12/1/2026
1,362,172
3,250,000
4.125%, 
5/15/2049
3,613,508
Dominion
Energy,
Inc.
2,900,000
3.071%, 
8/15/2024
3,088,429
2,250,000
4.650%, 
12/15/2024
b,f
2,368,800
Duke
Energy
Corporation
3,840,000
3.150%, 
8/15/2027
4,090,588
3,200,000
3.750%, 
9/1/2046
3,218,164
Edison
International
6,600,000
5.750%, 
6/15/2027
7,699,240
Entergy
Corporation
3,000,000
2.400%, 
6/15/2031
2,898,509
Exelon
Corporation
1,620,000
3.950%, 
6/15/2025
1,770,265
FirstEnergy
Corporation
4,480,000
3.900%, 
7/15/2027
4,816,000
1,300,000
4.850%, 
7/15/2047
1,460,124
FirstEnergy
Transmission,
LLC
4,300,000
2.866%, 
9/15/2028
e
4,334,854
3,150,000
5.450%, 
7/15/2044
e
3,639,385
Georgia
Power
Company
3,000,000
3.250%, 
3/15/2051
2,863,836
3,200,000
2.650%, 
9/15/2029
3,264,887
National
Rural
Utilities
Cooperative
Finance
Corporation
2,600,000
4.400%, 
11/1/2048
3,047,156
Nevada
Power
Company
2,800,000
6.750%, 
7/1/2037
3,929,168
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
120
Principal
Amount
Long-Term
Fixed
Income
(94.4%)
Value
Utilities
(7.2%)
-
continued
NextEra
Energy
Operating
Partners,
LP
$
640,000
3.875%, 
10/15/2026
e
$
671,200
NiSource
Finance
Corporation
1,920,000
4.375%, 
5/15/2047
2,151,566
NiSource,
Inc.
3,200,000
3.600%, 
5/1/2030
3,468,351
NRG
Energy,
Inc.
1,200,000
2.450%, 
12/2/2027
e
1,192,761
4,950,000
3.375%, 
2/15/2029
e
4,832,437
Oncor
Electric
Delivery
Company,
LLC
2,490,000
3.750%, 
4/1/2045
2,674,614
Pacific
Gas
and
Electric
Company
1,270,000
2.950%, 
3/1/2026
1,308,573
1,900,000
3.300%, 
12/1/2027
1,984,254
1,800,000
3.250%, 
6/1/2031
1,792,040
3,000,000
4.200%, 
6/1/2041
2,985,054
1,900,000
3.950%, 
12/1/2047
1,748,671
PPL
Capital
Funding,
Inc.
3,190,000
3.950%, 
3/15/2024
3,444,401
3,100,000
4.125%, 
4/15/2030
3,484,197
PPL
Electric
Utilities
Corporation
3,800,000
3.000%, 
10/1/2049
3,607,268
San
Diego
Gas
and
Electric
Company
3,200,000
4.150%, 
5/15/2048
3,607,261
Sempra
Energy
3,200,000
3.250%, 
6/15/2027
3,423,388
Southern
California
Edison
Company
3,200,000
3.650%, 
2/1/2050
3,165,542
Southern
Company
7,630,000
3.250%, 
7/1/2026
8,166,973
3,100,000
4.000%, 
1/15/2051
b
3,271,275
TerraForm
Power
Operating,
LLC
640,000
5.000%, 
1/31/2028
e
690,592
Total
138,393,018
Total
Long-Term
Fixed
Income
(cost
$1,734,499,080)
1,812,000,095
Shares
Collateral
Held
for
Securities
Loaned
(
1.1%
)
Value
21,062,570
Thrivent
Cash
Management
Trust
21,062,570
Total
Collateral
Held
for
Securities
Loaned
(cost
$21,062,570)
21,062,570
Shares
Registered
Investment
Companies
(
0.3%
)
Value
Unaffiliated  (0.3%)
60,000
iShares
J.P.
Morgan
USD
Emerging
Markets
Bond
ETF
6,532,800
Total
6,532,800
Total
Registered
Investment
Companies
(cost
$6,074,928)
6,532,800
Shares
Preferred
Stock
(
0.1%
)
Value
Financials
(0.1%)
22,500
Cobank
ACB,
6.250%
b,f
$
2,368,125
Total
2,368,125
Total
Preferred
Stock
(cost
$2,250,000)
2,368,125
Shares
Common
Stock
(
<0.1%
)
Value
Communications
Services
(<0.1%)
426
Windstream
Services,
LLC,
Warrants
(Expires
12/31/2049)
j
5,467
Total
5,467
Financials
(<0.1%)
2,247
Glitnir
HoldCo
ehf.
i,j
0
Total
0
Total
Common
Stock
(cost
$192,205)
5,467
Shares
or
Principal
Amount
Short-Term
Investments
(
5.4%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
300,000
0.085%,
4/7/2021
k,l
300,000
300,000
0.080%,
4/14/2021
k,l
300,000
200,000
0.040%,
5/4/2021
k,l
199,998
100,000
0.035%,
6/2/2021
k,l
99,997
Thrivent
Core
Short-Term
Reserve
Fund
10,121,757
0.180%
101,217,569
U.S.
Treasury
Bills
500,000
0.048%,
8/26/2021
k,m
499,954
Total
Short-Term
Investments
(cost
$102,506,260)
102,617,518
Total
Investments
(cost
$1,874,255,495)
101.7%
$1,952,251,084
Other
Assets
and
Liabilities,
Net
(1.7%)
(32,770,666)
Total
Net
Assets
100.0%
$1,919,480,418
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
121
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
March
31,
2021.
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
All
or
a
portion
of
the
loan
is
unfunded.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
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
March
31,
2021,
the
value
of
these
investments
was
$382,317,756
or
19.9%
of
total
net
assets.
f
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
g
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
h
All
or
a
portion
of
the
security
is
on
loan.
i
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
j
Non-income
producing
security.
k
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
l
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.
m
At
March
31,
2021,
$259,976
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
Income
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
20,432,484
Total
lending
$20,432,484
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$21,062,570
Net
amounts
due
to
counterparty
$630,086
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:
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
122
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
Income
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
96,626
96,626
Communications
Services
2,909,716
2,909,716
Consumer
Cyclical
2,383,675
2,383,675
Consumer
Non-Cyclical
1,747,064
1,747,064
Financials
124,327
124,327
Technology
403,101
403,101
Long-Term
Fixed
Income
Asset-Backed
Securities
60,092,818
60,092,818
Basic
Materials
51,892,409
51,892,409
Capital
Goods
66,795,263
66,795,263
Collateralized
Mortgage
Obligations
440,053
440,053
Communications
Services
162,073,144
162,073,144
Consumer
Cyclical
125,076,099
125,076,099
Consumer
Non-Cyclical
223,216,650
223,216,650
Energy
185,982,597
185,982,597
Financials^
548,738,478
548,738,478
0
Foreign
Government
3,283,979
3,283,979
Mortgage-Backed
Securities
44,135,704
44,135,704
Technology
92,833,671
92,833,671
Transportation
44,901,056
44,901,056
U.S.
Government
&
Agencies
64,145,156
64,145,156
Utilities
138,393,018
138,393,018
Registered
Investment
Companies
Unaffiliated
6,532,800
6,532,800
Preferred
Stock
Financials
2,368,125
2,368,125
Common
Stock
Communications
Services
5,467
5,467
Financials^
0
0
Short-Term
Investments
1,399,949
1,399,949
Subtotal
Investments
in
Securities
$1,829,970,945
$8,900,925
$1,821,070,020
$0
Other
Investments  *
Total
Affiliated
Short-Term
Investments
101,217,569
Collateral
Held
for
Securities
Loaned
21,062,570
Subtotal
Other
Investments
$122,280,139
Total
Investments
at
Value
$1,952,251,084
*
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.  
^
Level
3
security
in
this
section
is
fair
valued
at
<$1.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
1,432,915
1,432,915
Total
Liability
Derivatives
$1,432,915
$1,432,915
$–
$–
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
123
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
The
following
table
presents
Income
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$899,995
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
June
2021
$
33,279,228
(
$
1,432,915)
Total
Futures
Long
Contracts
$
33,279,228
(
$
1,432,915)
Total
Futures
Contracts
$
33,279,228
($1,432,915)
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$69,786
$165,460
$134,028
$101,218
10,122
5.3%
Total
Affiliated
Short-Term
Investments
69,786
101,218
5.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
16,432
63,740
59,109
21,063
21,063
1.1
Total
Collateral
Held
for
Securities
Loaned
16,432
21,063
1.1
Total
Value
$86,218
$122,281
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$36
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$36
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
4
Total
Affiliated
Income
from
Securities
Loaned,
Net
$4
Total
Value
$–
$–
$–
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
124
Shares
Common
Stock
(
91.9%
)
Value
Argentina
(<0.1%)
4,718
Telecom
Argentina
SA
ADR
$
26,043
Total
26,043
Australia
(6.0%)
57,772
ARB
Corporation,
Ltd.
1,518,802
207,890
Aristocrat
Leisure,
Ltd.
5,454,123
42,535
ASX,
Ltd.
2,302,399
104,755
Australia
and
New
Zealand
Banking
Group,
Ltd.
2,249,138
10,376
Bega
Cheese,
Ltd.
50,094
48,131
Bendigo
and
Adelaide
Bank,
Ltd.
368,636
159,818
BHP
Group,
Ltd.
5,543,989
67,032
Breville
Group,
Ltd.
1,379,886
92,637
BWP
Trust
278,792
362,948
Carsales.com,
Ltd.
4,935,772
5,425
Champion
Iron,
Ltd.
a
22,714
224,506
Charter
Hall
Group
2,208,452
46,396
Codan
Limited
545,629
225,111
Commonwealth
Bank
of
Australia
14,770,595
307,331
Computershare,
Ltd.
3,526,462
34,923
Computershare,
Ltd.,
Rights
a
40,319
46,561
Corporate
Travel
Management,
Ltd.
a
697,127
15,921
Credit
Corporation
Group,
Ltd.
397,990
81,812
CSL,
Ltd.
16,534,511
117,953
Data#
3,
Ltd.
467,311
27,907
Domino's
Pizza
Enterprises,
Ltd.
2,048,282
11,268
Elders,
Ltd.
106,626
654,626
GWA
Group,
Ltd.
1,424,832
29,365
Harvey
Norman
Holdings,
Ltd.
128,341
603,941
Humm
Group,
Ltd.
a
442,998
79,320
Ingenia
Communities
Group
306,091
57,536
JB
Hi-Fi,
Ltd.
2,270,800
14,539
Jumbo
Interactive,
Ltd.
140,523
297,595
Metcash,
Ltd.
835,100
67,376
Mineral
Resources,
Ltd.
1,955,830
118,510
National
Australia
Bank,
Ltd.
2,347,978
17,766
Netwealth
Group,
Ltd.
182,770
5,720
Nick
Scali,
Ltd.
43,408
20,430
Pointsbet
Holdings,
Ltd.
a
193,709
69,572
Premier
Investments,
Ltd.
1,380,334
17,713
Pro
Medicus,
Ltd.
558,374
47,599
REA
Group,
Ltd.
5,150,863
8,302
Redbubble,
Ltd.
a
31,781
63,350
Rio
Tinto,
Ltd.
5,354,154
560,618
Sandfire
Resources,
Ltd.
2,285,823
257,008
SEEK,
Ltd.
a
5,601,949
9,114
Seven
Group
Holdings,
Ltd.
156,540
18,131
Sonic
Healthcare,
Ltd.
484,847
386,346
Tabcorp
Holdings,
Ltd.
1,380,325
260,939
Transurban
Group
a
2,652,760
24,458
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
588,793
63,809
Wesfarmers,
Ltd.
2,562,481
287,809
Westpac
Banking
Corporation
5,338,552
157,261
Woodside
Petroleum,
Ltd.
2,874,398
35,158
Woolworths,
Ltd.
1,094,968
50,590
WorleyParsons,
Ltd.
405,236
Total
113,622,207
Austria
(0.3%)
67,324
AMS
AG
a
1,340,470
18,721
BAWAG
Group
AG
b
965,650
53,531
OMV
AG
2,712,814
Shares
Common
Stock
(91.9%)
Value
Austria
(0.3%)
-
continued
3,745
Schoeller-Bleckmann
Oilfield
Equipment
AG
$
167,923
6,235
Semperit
Aktiengesellschaft
Holding
a
277,376
12,289
Zumtobel
AG
112,985
Total
5,577,218
Belgium
(0.8%)
72,007
Anheuser-Busch
InBev
NV
4,526,581
13,670
bpost
SA
130,561
4,044
Cofinimmo
SA
588,778
47,149
Groupe
Bruxelles
Lambert
SA
4,877,395
11,711
KBC
Groep
NV
852,112
13,722
NV
Bekaert
SA
573,792
13,315
SA
D'Ieteren
NV
1,302,077
3,178
Tessenderlo
Group
a
139,498
62,342
Warehouses
De
Pauw
SCA
2,059,939
Total
15,050,733
Bermuda
(0.2%)
78,725
Golden
Ocean
Group,
Ltd.
a
546,803
72,213
Johnson
Electric
Holdings,
Ltd.
194,764
598,000
K
Wah
International
Holdings,
Ltd.
310,673
189,500
Kerry
Logistics
Network,
Ltd.
568,160
234,500
Luye
Pharma
Group,
Ltd.
b
150,199
50,000
Nine
Dragons
Paper
(Holdings),
Ltd.
73,508
2,179,000
Pacific
Basin
Shipping,
Ltd.
590,127
374,000
Road
King
Infrastructure,
Ltd.
490,782
182,400
Shanghai
Industrial
Urban
Development
Group,
Ltd.
17,845
482,000
Yuexiu
Transport
Infrastructure,
Ltd.
304,645
Total
3,247,506
Brazil
(0.3%)
34,800
Ambev
SA
94,718
23,000
Atacadao
SA
94,801
5,200
Azul
SA
a
35,014
1,900
B2W
-
Companhia
Digital
a
20,544
24,700
B3
SA
-
Brasil
Bolsa
Balcao
239,906
30,400
Banco
ABC
Brasil
SA
78,584
73,308
Banco
Bradesco
SA
ADR
344,547
30,700
Banco
do
Brasil
SA
166,518
1,200
Banco
Inter
SA
33,327
25,484
Banco
Santander
Brasil
SA
ADR
179,662
13,800
BB
Seguridade
Participacoes
SA
59,455
8,100
BRF
SA
a
36,250
16,300
CCR
SA
37,299
7,022
Centrais
Eletricas
Brasileiras
SA
ADR
42,834
4,000
Cia
Brasileira
de
Distribuicao
23,437
11,400
Companhia
Hering
32,547
7,929
Companhia
Siderurgica
Nacional
SA
ADR
53,124
41,000
EDP
-
Energias
do
Brasil
SA
144,955
9,400
Enauta
Participacoes
SA
26,303
32,755
Gerdau
SA
ADR
174,912
3,800
Hypera
SA
21,671
82,102
Itau
Unibanco
Holding
SA
ADR
407,226
165,500
Itausa
SA
301,676
41,300
JBS
SA
220,858
15,200
Klabin
SA
a
74,317
6,300
Localiza
Rent
a
Car
SA
67,089
7,500
Locaweb
Servicos
de
Internet
SA
b
30,514
5,000
Lojas
Americanas
SA
19,792
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
125
Shares
Common
Stock
(91.9%)
Value
Brazil
(0.3%)
-
continued
50,600
Magazine
Luiza
SA
$
180,514
40,000
Metalurgica
Gerdau
SA
95,582
9,500
Natura
&
Company
Holding
SA
a
81,065
3,700
Petro
Rio
SA
a
60,180
35,600
Petrobras
Distribuidora
SA
139,145
87,878
Petroleo
Brasileiro
SA
377,669
29,424
Petroleo
Brasileiro
SA
ADR
249,516
53,800
Raia
Drogasil
SA
240,486
8,900
Rumo
SA
a
31,861
4,000
Sendas
Distribuidora
SA
a
52,474
9,600
Suzano
SA
a
117,360
2,100
Telefonica
Brasil
SA
16,565
18,235
Telefonica
Brasil
SA
ADR
143,509
35,600
TIM
SA
80,325
3,343
TIM
SA
ADR
37,943
16,700
Usinas
Siderurgicas
de
Minas
Gerais
SA
Usiminas
50,943
43,251
Vale
SA
ADR
751,702
17,500
WEG
SA
232,840
Total
6,001,559
Canada
(7.9%)
135,896
BCE,
Inc.
6,134,623
16,818
Boralex,
Inc.
528,883
33,284
Canadian
Apartment
Properties
REIT
1,426,495
114,646
Canadian
National
Railway
Company
13,304,665
43,963
Canadian
Natural
Resources,
Ltd.
1,359,086
26,809
Canadian
Pacific
Railway,
Ltd.
10,239,771
232,736
CGI,
Inc.
a
19,386,333
22,520
Choice
Properties
REIT
242,994
564,517
CI
Financial
Corporation
8,153,086
322
Constellation
Software,
Inc.
449,688
193,891
Dollarama,
Inc.
8,565,949
4,988
FirstService
Corporation
740,401
5,363
Intact
Financial
Corporation
657,199
6,863
Kinaxis,
Inc.
a
800,929
181,068
Laurentian
Bank
of
Canada
c
5,767,607
26,806
Onex
Corporation
1,667,190
143,687
Quebecor,
Inc.
3,857,722
48,505
Restaurant
Brands
International,
Inc.
3,152,825
184,711
Royal
Bank
of
Canada
17,030,686
13,092
Shopify
Inc.
a
14,486,298
98,322
Sun
Life
Financial,
Inc.
4,968,911
8,797
Suncor
Energy,
Inc.
183,892
96,850
TC
Energy
Corporation
4,439,825
96,170
Thomson
Reuters
Corporation
8,424,728
7,578
TMX
Group,
Ltd.
787,468
199,622
Toronto-Dominion
Bank
13,019,033
Total
149,776,287
Cayman
Islands
(1.4%)
199,000
3SBio,
Inc.
a,b
176,196
6,710
Baidu.com,
Inc.
ADR
a
1,459,760
6,204
Baozun,
Inc.
ADR
a
236,620
68,000
Bizlink
Holding,
Inc.
639,195
260,000
Budweiser
Brewing
Company
APAC,
Ltd.
b
778,276
68,000
China
Medical
System
Holdings,
Ltd.
135,130
18,000
China
Meidong
Auto
Holdings,
Ltd.
83,595
223,334
China
Resources
Land,
Ltd.
1,088,490
Shares
Common
Stock
(91.9%)
Value
Cayman
Islands
(1.4%)
-
continued
35,000
China
Resources
Medical
Holdings
Company,
Ltd.
$
27,687
141,000
Consun
Pharmaceutical
Group,
Ltd.
72,650
40,900
ENN
Energy
Holdings,
Ltd.
659,688
111,000
Geely
Automobile
Holdings,
Ltd.
285,499
71,000
Goodbaby
International
Holdings,
Ltd.
a
13,107
407,000
IGG,
Inc.
526,173
2,583
JOYY,
Inc.
ADR
242,105
44,000
Kingboard
Holdings,
Ltd.
238,145
146,000
LifeTech
Scientific
Corporation
a
67,441
81,000
Longfor
Group
Holdings,
Ltd.
b
537,241
44,900
Meituan
Dianping
a,b
1,752,186
16,072
NetEase,
Inc.
ADR
1,659,595
42,686
New
Oriental
Education
&
Technology
Group,
Inc.
ADR
a
597,604
8,222
NIO,
Inc.
ADR
a
320,494
1,667
Noah
Holdings,
Ltd.
ADR
a
74,015
2,759
Pinduoduo,
Inc.
ADR
a
369,375
77,355
Qudian,
Inc.
ADR
a
176,369
146,000
Sands
China,
Ltd.
a
731,770
1,196,500
Shui
On
Land,
Ltd.
183,195
839,000
SITC
International
Holdings
Company,
Ltd.
2,855,374
97,224
Tencent
Holdings,
Ltd.
7,759,210
124,000
Tingyi
(Cayman
Islands)
Holding
Corporation
228,002
129,000
Want
Want
China
Holdings,
Ltd.
96,921
30,500
Wuxi
Biologics
(Cayman),
Inc.
a,b
384,628
221,000
Xiabuxiabu
Catering
Management
Holdings
Company,
Ltd.
b
449,017
54,000
Yihai
International
Holding,
Ltd.
563,400
135,500
Zhongsheng
Group
Holdings,
Ltd.
959,914
Total
26,428,067
Chile
(0.1%)
4,252
Banco
de
Chile
ADR
100,432
2,643
Banco
de
Credito
e
Inversiones
SA
139,714
5,887
CAP
SA
95,316
11,292
Cencosud
SA
24,137
8,835
Cia
Cervecerias
Unidas
SA
ADR
156,114
671,728
Colbun
SA
130,640
35,571
Embotelladora
Andina
SA
94,284
34,886
Empresas
CMPC
SA
112,003
2,294
Empresas
Copec
SA
28,336
9,193
Enel
Chile
SA
ADR
36,037
52,717
SMU
SA
8,631
596
Sociedad
Quimica
y
Minera
de
Chile
SA
ADR
31,630
156
Sociedad
Quimica
y
Minera
de
Chile
SA,
Rights
a
484
Total
957,758
China
(1.5%)
795,000
Agricultural
Bank
of
China,
Ltd.
318,685
10,987
Aier
Eye
Hospital
Group
Company,
Ltd.
99,817
33,157
Alibaba
Group
Holding,
Ltd.
ADR
a
7,517,687
85,500
Anhui
Conch
Cement
Company,
Ltd.,
Class
H
558,334
8,414
Autohome,
Inc.
ADR
784,774
176,000
Bank
of
China,
Ltd.
67,132
284,700
Bank
of
Hangzhou
Company,
Ltd.
734,420
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
126
Shares
Common
Stock
(91.9%)
Value
China
(1.5%)
-
continued
10,088
Bank
of
Hangzhou
Company,
Ltd.,
Rights
a,d
$
0
192,400
Bank
of
Jiangsu
Company,
Ltd.
190,151
30,000
Beijing
North
Star
Company,
Ltd.
5,608
11,195
BYD
Company,
Ltd.,
Class
A
284,243
24,500
BYD
Company,
Ltd.,
Class
H
530,101
528,000
China
Cinda
Asset
Management
Company,
Ltd.
110,144
987,000
China
Construction
Bank
Corporation
831,959
168,800
China
International
Capital
Corporation,
Ltd.
a,b
410,661
35,000
China
Longyuan
Power
Group
Corporation,
Ltd.
47,802
18,000
China
Merchants
Bank
Company,
Ltd.
137,901
67,800
China
Pacific
Insurance
(Group)
Company,
Ltd.
268,357
9,809
China
Petroleum
&
Chemical
Corporation
ADR
517,229
24,072
China
Resources
Sanjiu
Medical
and
Pharmaceutical
Company,
Ltd.
89,943
29,386
China
Shenhua
Energy
Company,
Ltd.,
Class
A
90,351
325,000
China
Shenhua
Energy
Company,
Ltd.,
Class
H
671,923
119,600
China
Vanke
Company,
Ltd.,
Class
H
469,978
42,393
COSCO
SHIPPING
Holdings
Company,
Ltd.,
Class
A
a
88,129
265,500
COSCO
SHIPPING
Holdings
Company,
Ltd.,
Class
H
a
343,634
226,000
GF
Securities
Company,
Ltd.
347,438
128,588
Henan
Shuanghui
Investment
&
Development
Company,
Ltd.
807,270
94,886
Huadong
Medicine
Company,
Ltd.
536,534
800,400
Industrial
and
Commercial
Bank
of
China,
Ltd.,
Class
A
677,044
1,774,000
Industrial
and
Commercial
Bank
of
China,
Ltd.,
Class
H
1,276,039
193,094
Industrial
Bank
Company,
Ltd.
711,527
17,497
JD.com,
Inc.
ADR
a
1,475,522
80,000
Jiangxi
Copper
Company,
Ltd.
153,633
28,100
Kingfa
Science
&
Technology
Company,
Ltd.
93,505
3,592
Kweichow
Moutai
Company,
Ltd.
1,104,721
19,700
Livzon
Pharmaceutical
Group,
Inc.
125,648
380,000
Metallurgical
Corporation
of
China,
Ltd.
198,773
84,200
Oceanwide
Holdings
Company,
Ltd.
35,417
20,000
Offcn
Education
Technology
Company,
Ltd.
86,311
131,278
Ping
An
Insurance
Company
of
China,
Ltd.
1,570,263
766,000
Postal
Savings
Bank
of
China
Company,
Ltd.
b
574,074
79,177
S.
F.
Holding
Company,
Ltd.
983,739
45,600
Shandong
Sun
Paper
Industry
Joint
Stock
Company,
Ltd.
109,802
5,200
Shanghai
Haohai
Biological
Technology
Company,
Ltd.
b
39,712
13,600
Shenzhou
International
Group
Holdings,
Ltd.
284,465
Shares
Common
Stock
(91.9%)
Value
China
(1.5%)
-
continued
212,000
Tong
Ren
Tang
Technologies
Company,
Ltd.
$
144,838
2,000
Tsingtao
Brewery
Company,
Ltd.
17,800
21,712
Vipshop
Holdings,
Ltd.
ADR
a
648,320
4,971
WuXi
AppTec
Company,
Ltd.
106,960
57,000
YiChang
HEC
ChangJiang
Pharmaceutical
Company,
Ltd.
b
60,742
9,500
Yunnan
Baiyao
Group
Company,
Ltd.
175,248
464,000
Zijin
Mining
Group
Company,
Ltd.
573,833
Total
28,088,141
Colombia
(<0.1%)
5,375
Bancolombia
SA
ADR
171,946
5,809
Interconexion
Electrica
SA
35,695
Total
207,641
Cyprus
(<0.1%)
618
TCS
Group
Holding
plc
GDR
36,122
Total
36,122
Czech
Republic
(<0.1%)
10,187
CEZ
AS
251,761
6,555
Komercni
Banka
AS
202,294
24,012
Moneta
Money
Bank
AS
b
89,496
63
Philip
Morris
CR
44,441
Total
587,992
Denmark
(2.5%)
1,180
A.P.
Moller
-
Maersk
AS,
Class
B
2,739,392
1,203
Aktieselskabet
Schouw
&
Company
125,830
77,184
Carlsberg
AS
11,836,907
21,431
Dampskibsselskabet
Norden
AS
496,257
2,061
DFDS
AS
a
105,386
14,262
DSV
AS
2,797,400
310,770
Novo
Nordisk
AS
20,940,812
29,572
Orsted
AS
b
4,774,854
9,428
Per
Aarsleff
Holding
AS
409,443
23,176
Royal
Unibrew
AS
2,422,672
13,269
Scandinavian
Tobacco
Group
AS
a,b
254,699
1,415
Topdanmark
AS
64,538
Total
46,968,190
Egypt
(<0.1%)
55,192
Commercial
International
Bank
Egypt
SAE
GDR
196,760
195,635
EFG
Hermes
Holding
Company
a
181,309
Total
378,069
Finland
(0.7%)
1,363
Kemira
Oyj
20,938
31,974
KONE
Oyj
2,613,442
1,846
Konecranes
Oyj
82,272
50,474
Metsa
Board
Oyj
549,885
8,148
Neles
Oyj
103,445
124,661
Neste
Oil
Oyj
6,620,236
14,133
Nokian
Tyres
plc
511,931
158
Revenio
Group
Oyj
9,381
4,740
Rovio
Entertainment
Oyj
b
36,881
47,238
Tokmanni
Group
Corporation
1,107,073
30,012
Uponor
Oyj
666,136
Total
12,321,620
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
127
Shares
Common
Stock
(91.9%)
Value
France
(6.1%)
76,827
Air
Liquide
SA
$
12,544,046
3,324
Albioma
SA
162,906
102,646
BNP
Paribas
SA
a
6,254,173
1,553
Capgemini
SA
264,053
17,935
CNP
Assurances
340,172
22,083
Coface
SA
a
243,993
164,085
Electricite
de
France
a
2,201,081
5,486
Gaztransport
Et
Technigaz
SA
437,087
6,589
Hermes
International
7,287,443
42,187
Ipsos
SA
1,591,632
208,706
Legrand
SA
19,413,601
6,103
LNA
Sante
327,838
32,387
L'Oreal
SA
12,406,897
8,139
LVMH
Moet
Hennessy
Louis
Vuitton
SE
5,436,477
18,151
Mercialys
SA
199,855
3,408
Mersen
a
118,614
34,939
Metropole
Television
SA
a
746,160
199,640
Natixis
a
954,256
10,053
Nexans
SA
889,526
14,317
Nexity
SA
705,562
5,508
Quadient
SAS
132,226
124,210
Rexel
SA
a
2,458,638
833
Rubis
SCA
39,422
1,276
Sartorius
Stedim
Biotech
525,138
171,203
Schneider
Electric
SE
26,080,330
69,486
Television
Francaise
1
SA
631,899
274,246
Total
SE
12,785,331
2,609
Trigano
487,649
Total
115,666,005
Germany
(5.6%)
24,841
Aareal
Bank
AG
705,176
21,815
Aixtron
SE
a
495,849
111,405
Allianz
SE
28,336,534
199,161
Alstria
Office
REIT
AG
3,218,721
23,021
Aurubis
AG
1,907,910
2,958
Bechtle
AG
554,909
742
Cewe
Stiftung
&
Company
KGaA
104,766
5,562
CompuGroup
Medical
SE
and
Company
KGaA
470,091
95,770
Daimler
AG
8,547,479
44,265
Deutsche
Boerse
AG
7,355,493
210,018
Deutsche
Pfandbriefbank
AG
a,b
2,446,377
38,737
Deutsche
Post
AG
2,125,153
295,258
Deutsche
Telekom
AG
5,950,485
28,597
Deutsche
Wohnen
AG
1,334,010
8,337
ElringKlinger
AG
a
122,410
22,828
Encavis
AG
432,685
21,916
Gerresheimer
AG
2,176,648
62,112
Infineon
Technologies
AG
2,642,726
28,751
Klockner
&
Company
SE
a
362,091
21,548
LEG
Immobilien
AG
2,834,364
22,018
Merck
KGaA
3,766,282
658
New
Work
SE
170,918
67,199
ProSiebenSat.1
Media
AG
1,372,348
20,794
Rheinmetall
AG
2,109,004
13,279
SAP
SE
1,628,764
1,783
Sartorius
Aktiengesellschaft
888,934
3,051
Sixt
SE
a
403,436
4,668
Stroeer
SE
380,339
83,210
Symrise
AG
10,096,032
386,286
TAG
Immobilien
AG
11,026,171
39,407
Takkt
AG
a
596,537
2,551
Vonovia
SE
166,707
Shares
Common
Stock
(91.9%)
Value
Germany
(5.6%)
-
continued
10,753
Wacker
Chemie
AG
$
1,529,839
Total
106,259,188
Greece
(<0.1%)
11,273
Hellenic
Telecommnications
Organization
SA
180,880
21,327
Mytilineos
SA
351,476
3,162
OPAP
SA
42,718
838
Sarantis
SA
8,510
Total
583,584
Hong
Kong
(1.3%)
825,271
AIA
Group,
Ltd.
10,098,652
100,000
CITIC,
Ltd.
95,003
8,000
CLP
Holdings,
Ltd.
77,894
139,440
CSPC
Pharmaceutical
Group,
Ltd.
169,531
97,000
Far
East
Horizon,
Ltd.
116,538
1,056,000
Galaxy
Entertainment
Group,
Ltd.
a
9,546,596
241,778
Hang
Lung
Group,
Ltd.
612,884
22,200
Hong
Kong
Exchanges
&
Clearing,
Ltd.
1,317,035
120,000
Hysan
Development
Company,
Ltd.
469,579
115,000
Luk
Fook
Holdings
International,
Ltd.
317,194
126,000
Shanghai
Industrial
Holdings,
Ltd.
188,334
55,000
Sun
Hung
Kai
&
Company,
Ltd.
28,016
178,000
United
Laboratories
International
Holdings
131,840
1,280,000
Yuexiu
Property
Company,
Ltd.
290,485
Total
23,459,581
Hungary
(<0.1%)
2,262
OTP
Bank
Nyrt
a
96,693
2,567
Richter
Gedeon
Nyrt
75,683
Total
172,376
India
(0.7%)
8,290
ACC,
Ltd.
216,470
20,116
Adani
Ports
and
Special
Economic
Zone,
Ltd.
a
193,699
40,685
Aditya
Birla
Capital,
Ltd.
a
66,714
62,633
Amara
Raja
Batteries,
Ltd.
733,458
93,754
Ambuja
Cements,
Ltd.
397,104
7,420
APL
Apollo
Tubes,
Ltd.
a
142,585
4,106
Apollo
Hospitals
Enterprise,
Ltd.
163,385
7,552
Aurobindo
Pharma,
Ltd.
91,264
20,035
Bajaj
Auto,
Ltd.
a
1,008,227
252
Blue
Dart
Express,
Ltd.
a
19,271
27,084
Cipla,
Ltd.
a
302,591
8,980
Cummins
India,
Ltd.
113,078
8,090
Cyient,
Ltd.
a
71,851
1,210
Dixon
Technologies,
Ltd.
a
60,899
1,571
Dr.
Lal
PathLabs,
Ltd.
b
58,244
1,417
Endurance
Technologies,
Ltd.
a,b
28,315
40,746
Glenmark
Pharmaceuticals,
Ltd.
259,736
9,423
Granules
India,
Ltd.
39,198
19,694
Graphite
India,
Ltd.
a
138,174
4,541
Gujarat
Gas,
Ltd.
34,202
81,594
HCL
Technologies,
Ltd.
1,099,737
3,043
HEG,
Ltd.
a
61,129
29,549
Heidelberg
Cement
India,
Ltd.
94,476
15,336
Hero
Motocorp,
Ltd.
613,172
5,200
Housing
Development
Finance
Corporation
178,669
96,581
Infosys,
Ltd.
ADR
1,807,996
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
128
Shares
Common
Stock
(91.9%)
Value
India
(0.7%)
-
continued
11,107
InterGlobe
Aviation,
Ltd.
a,b
$
248,529
56,063
Jindal
Saw,
Ltd.
57,110
1,366
JK
Cement,
Ltd.
a
54,400
25,783
JSW
Steel,
Ltd.
166,024
4,709
Jubilant
FoodWorks,
Ltd.
a
188,097
1,996
Jubilant
Pharmova,
Ltd.
a
18,655
2,783
Kalpataru
Power
Transmission,
Ltd.
14,380
1,162
L&T
Technology
Services,
Ltd.
b
42,297
8,681
Laurus
Labs,
Ltd.
b
43,082
4,563
Mahanagar
Gas,
Ltd.
73,123
69,348
Motherson
Sumi
Systems,
Ltd.
a
192,151
492,641
Oil
and
Natural
Gas
Corporation,
Ltd.
690,571
5,338
Persistent
Systems,
Ltd.
140,775
15,374
Piramal
Enterprises,
Ltd.
370,164
18,546
PNB
Housing
Finance,
Ltd.
a,b
95,432
5,882
Polycab
India,
Ltd.
a
111,342
3,778
Prestige
Estates
Projects,
Ltd.
a
15,858
19,529
Reliance
Industries,
Ltd.
536,974
1,149
Supreme
Industries,
Ltd.
32,156
15,689
Tata
Consultancy
Services,
Ltd.
683,599
13,378
Tata
Elxsi,
Ltd.
493,816
6,172
Tech
Mahindra,
Ltd.
83,938
58,673
UPL,
Ltd.
517,515
125,171
Wipro,
Ltd.
ADR
793,584
Total
13,657,216
Indonesia
(<0.1%)
961,400
Mitra
Adiperkasa
Tbk
PT
a
48,964
43,000
PT
Charoen
Pokphand
Indonesia
Tbk
20,749
39,600
PT
Indosat
Tbk
a
17,153
294,700
PT
Japfa
Comfeed
Indonesia
Tbk
39,067
13,963
Telekomunikasi
Indonesia
Persero
Tbk
PT
ADR
330,085
Total
456,018
Ireland
(<0.1%)
21,183
Glanbia
plc
314,386
21,778
Grafton
Group
plc
307,392
Total
621,778
Isle
of
Man
(0.3%)
217,542
Entain
plc
a
4,549,415
Total
4,549,415
Israel
(0.3%)
2,751
First
International
Bank
of
Israel,
Ltd.
a
76,684
74,029
Mizrahi
Tefahot
Bank,
Ltd.
a
1,930,361
96,131
Plus500,
Ltd.
1,855,673
7,658
Wix.com,
Ltd.
a
2,138,267
Total
6,000,985
Italy
(1.9%)
49,974
Amplifon
SPA
a
1,859,572
51,189
Azimut
Holding
SPA
1,166,096
17,218
Banca
Mediolanum
SPA
a
162,423
53,916
Banco
BPM
SPA
153,795
23,662
Biesse
SPA
a
678,325
8,006
Buzzi
Unicem
SPA
207,957
1,964
De'Longhi
SPA
79,326
1,316,707
Enel
SPA
13,097,800
281,900
Eni
SPA
3,473,644
1,876
Gruppo
MutuiOnline
SPA
98,848
Shares
Common
Stock
(91.9%)
Value
Italy
(1.9%)
-
continued
8,815
Hera SPA
$
33,801
15,204
Interpump
Group
SPA
766,278
359,694
Mediobanca
SPA
a
3,985,873
65,666
Piaggio
&
C.
SPA
249,194
160,595
Recordati
SPA
8,636,743
10,011
Reply
SPA
1,266,947
20,425
Unipol
Gruppo
SPA
113,770
Total
36,030,392
Japan
(20.1%)
22,100
ABC-MART,
Inc.
1,247,988
67
Activia
Properties,
Inc.
294,413
17,300
Advantest
Corporation
1,519,497
4,700
Aichi
Steel
Corporation
157,924
110,600
Air
Water,
Inc.
1,940,317
68,900
Alps
Electric
Company,
Ltd.
913,784
15,700
AOKI
Holdings,
Inc.
87,776
45,500
Arcs
Company,
Ltd.
984,696
12,300
ASAHI
Company,
Ltd.
178,412
66,300
Asahi
Group
Holdings,
Ltd.
2,806,530
304,400
Astellas
Pharmaceutical,
Inc.
4,689,068
37,800
Autobacs
Seven
Company,
Ltd.
513,274
22,800
Bandai
Namco
Holdings,
Inc.
1,629,914
11,300
Bunka
Shutter
Company,
Ltd.
107,722
5,200
Canon
Electronics,
Inc.
81,085
97,800
Canon,
Inc.
2,223,386
1,500
Central
Glass
Company,
Ltd.
31,975
55,600
Chiyoda
Company,
Ltd.
498,822
188,100
Chugai
Pharmaceutical
Company,
Ltd.
7,643,225
4,400
Cosmo
Energy
Holdings
Company,
Ltd.
105,075
140,400
Daicel
Corporation
1,081,788
4,000
Daido
Steel
Company,
Ltd.
185,582
214,700
Daiichi
Sankyo
Company,
Ltd.
6,264,039
17,400
Daikin
Industries,
Ltd.
3,517,563
1,000
Daito
Trust
Construction
Company,
Ltd.
116,194
27
Daiwa
Office
Investment
Corporation
190,282
95,400
Dena
Company,
Ltd.
1,866,091
190,200
Denso
Corporation
12,679,516
4,200
Dexerials
Corporation
72,007
9,100
DIC
Corporation
236,027
36,300
DIP
Corporation
955,006
16,500
Doshisha
Company,
Ltd.
279,290
15,700
DOWA
Holdings
Company,
Ltd.
655,085
1,700
Eagle
Industry
Company,
Ltd.
18,337
53,000
Ebara
Corporation
2,162,538
28,700
EDION
Corporation
321,745
7,300
Eiken
Chemical
Company,
Ltd.
142,852
29,600
EPS
Holdings,
Inc.
302,715
36,300
Exedy
Corporation
550,029
5,000
FANUC
Corporation
1,202,036
9,300
Fast
Retailing
Company,
Ltd.
7,434,214
23,100
Ferrotec
Holdings
Corporation
464,192
77,200
Financial
Products
Group
Company,
Ltd.
505,762
33
Frontier
Real
Estate
Investment
Corporation
140,917
70,900
Fuji
Soft,
Inc.
3,680,660
3,400
Fujibo
Holdings,
Inc.
123,201
96,300
Fujikura,
Ltd.
a
474,095
700
Fukuyama
Transporting
Company,
Ltd.
28,902
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
129
Shares
Common
Stock
(91.9%)
Value
Japan
(20.1%)
-
continued
3,800
Furukawa
Electric
Company,
Ltd.
$
102,221
57,600
Glory,
Ltd.
1,241,150
12,500
GMO
Internet,
Inc.
359,519
114,900
Gree,
Inc.
581,760
46,100
H.U.
Group
Holdings,
Inc.
1,549,353
65
Hankyu
REIT,
Inc.
88,770
25,800
Hanwa
Company,
Ltd.
793,882
639
Heiwa
Real
Estate
REIT,
Inc.
898,439
12,000
Hikari
Tsushin,
Inc.
2,419,402
1,800
Hitachi
Transport
System,
Ltd.
60,600
15,900
Hogy
Medical
Company,
Ltd.
485,100
44,400
Hokuetsu
Corporation
208,259
16,100
Hokuto
Corporation
303,614
300
Horiba,
Ltd.
18,984
89
Hoshino
Resorts
REIT,
Inc.
514,381
18,600
Hosiden
Corporation
194,665
40,300
Hoya
Corporation
4,743,182
11,100
IDOM,
Inc.
72,597
28,900
Iino
Kaiun
Kaisha,
Ltd.
138,565
141,300
Inaba
Denki
Sangyo
Company,
Ltd.
3,414,916
8,600
Inabata
&
Company,
Ltd.
129,007
1,179
Invesco
Office
J-Reit,
Inc.
186,221
5,045
Invincible
Investment
Corporation
1,910,697
47,500
ITOCHU
Techno-Solutions
Corporation
1,534,953
14,100
Itoham
Yonekyu
Holdings,
Inc.
93,028
19,200
Izumi
Company,
Ltd.
753,944
2,100
Jaccs
Company,
Ltd.
43,135
3,200
JAFCO
Company,
Ltd.
191,121
15,000
Japan
Aviation
Electronics
Industry,
Ltd.
244,191
3,711
Japan
Hotel
REIT
Investment
Corporation
2,097,911
43
Japan
Logistics
Fund,
Inc.
121,313
439,600
Japan
Post
Bank
Company,
Ltd.
4,227,311
33,300
Japan
Post
Holdings
Company,
Ltd.
296,778
255
Japan
Rental
Housing
Investments,
Inc.
250,440
1,148
Japan
Retail
Fund
Investment
Corporation
1,176,094
470,800
Japan
Tobacco,
Inc.
9,044,260
24,300
JGC
Corporation
298,719
117,400
Kamigumi
Company,
Ltd.
2,227,183
24,500
Kanematsu
Corporation
329,463
3,400
Kanematsu
Electronics,
Ltd.
114,773
105,629
Kao
Corporation
6,989,331
94,100
KDDI
Corporation
2,899,286
384
Kenedix
Retail
REIT
Corporation
933,894
29,200
Kewpie
Corporation
664,157
25,900
Keyence
Corporation
11,804,087
151,400
Kinden
Corporation
2,581,597
6,700
Kintetsu
World
Express,
Inc.
174,153
21,200
Kobe
Bussan
Company,
Ltd.
568,420
57,800
Kobe
Steel,
Ltd.
391,812
34,500
Kokuyo
Company,
Ltd.
535,297
17,700
KOMEDA
Holdings
Company,
Ltd.
322,837
350,100
Konica
Minolta
Holdings,
Inc.
1,906,760
84,400
K's
Holdings
Corporation
1,161,840
12,100
Kureha
Corporation
837,069
130,100
Kyoei
Steel,
Ltd.
1,952,580
6,900
Kyokuto
Kaihatsu
Kogyo
Company,
Ltd.
103,233
10,500
Lasertec
Corporation
1,386,645
11,200
Lintec
Corporation
253,676
90,600
M3,
Inc.
6,219,515
Shares
Common
Stock
(91.9%)
Value
Japan
(20.1%)
-
continued
12,400
Mabuchi
Motor
Company,
Ltd.
$
546,681
18,500
Macnica
Fuji
Electronics
Holdings,
Inc.
370,682
49,100
Maeda
Corporation
424,034
313,600
Marubeni
Corporation
2,619,212
34,100
Marui
Group
Company,
Ltd.
642,706
100
Marvelous,
Inc.
779
28,900
Maxell
Holdings,
Ltd.
a
366,275
21,500
Ministop
Company,
Ltd.
283,335
21,900
MISUMI
Group,
Inc.
637,937
305,100
Mitsubishi
Corporation
8,649,298
239,700
Mitsubishi
Electric
Corporation
3,663,348
41,300
Mitsubishi
Materials
Corporation
967,144
7,800
Mitsubishi
Research
Institute,
Inc.
290,860
930,700
Mitsubishi
UFJ
Financial
Group,
Inc.
4,976,724
379,800
Mitsubishi
UFJ
Lease
&
Finance
Company,
Ltd.
2,295,870
50,600
Mitsuboshi
Belting,
Ltd.
815,527
466,500
Mitsui
&
Company,
Ltd.
9,736,016
31,400
Mitsui
Mining
and
Smelting
Company,
Ltd.
1,092,681
10,600
Mitsui
O.S.K.
Lines,
Ltd.
372,988
3,200
Mitsui
Sugar
Company,
Ltd.
56,745
11,500
Modec,
Inc.
235,861
492
Mori
Hills
REIT
Investment
Corporation
682,209
23,800
MS
and
AD
Insurance
Group
Holdings,
Inc.
700,101
13,500
Murata
Manufacturing
Company,
Ltd.
1,086,689
3,400
Nagase
&
Company,
Ltd.
53,251
239,600
NEC
Networks
&
System
Integration
Corporation
4,226,908
155,700
NHK
Spring
Company,
Ltd.
1,171,749
70,200
Nidec
Corporation
8,559,334
7,000
Nihon
M&A
Center,
Inc.
189,865
21,500
Nihon
Unisys,
Ltd.
664,916
28,600
Nikkon
Holdings
Company,
Ltd.
575,428
150
Nippon
Building
Fund,
Inc.
883,918
80,500
Nippon
Electric
Glass
Company,
Ltd.
1,871,192
77,930
Nippon
Light
Metal
Holdings
Company,
Ltd.
1,564,916
119
Nippon
REIT
Investment
Corporation
454,799
358,300
Nippon
Telegraph
&
Telephone
Corporation
9,244,828
3,000
Nissan
Chemical
Industries,
Ltd.
160,507
443,605
Nissan
Motor
Company,
Ltd.
a
2,478,267
27,800
Nisshin
Oillio
Group,
Ltd.
819,870
3,300
Nitori
Holdings
Company,
Ltd.
639,224
84,000
Nitto
Kogyo
Corporation
1,542,225
6,100
Nojima
Corporation
155,351
16,900
NOK
Corporation
230,189
5,400
OBIC
Company,
Ltd.
990,855
28,100
Okamura
Corporation
330,287
4,377
Okinawa
Electric
Power
Company,
Inc.
61,409
10,700
Open
House
Company,
Ltd.
457,703
2,300
OPT
Holdings,
Inc.
41,761
29,800
Oracle
Corporation
Japan
2,917,282
316,400
ORIX
Corporation
5,351,205
500
Osaka
Soda
Company,
Ltd.
11,920
19,300
OUTSOURCING
Inc.
313,186
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
130
Shares
Common
Stock
(91.9%)
Value
Japan
(20.1%)
-
continued
13,600
Paramount
Bed
Holdings
Company,
Ltd.
$
289,861
30,300
Pasona
Group,
Inc.
512,597
37,300
PLENUS
Company,
Ltd.
a
637,845
20,300
Prima
Meat
Packers,
Ltd.
641,022
11,000
Proto
Corporation
116,701
151,684
Recruit
Holdings
Company,
Ltd.
7,448,627
368,400
Renesas
Electronics
Corporation
a
4,033,544
15,600
Resorttrust,
Inc.
261,360
42,200
Rinnai
Corporation
4,733,233
101,600
Riso
Kyoiku
Corporation,
Ltd.
311,278
1,500
Rohm
Company,
Ltd.
147,111
1,300
Ryobi,
Ltd.
19,574
30,300
Ryoyo
Electro
Corporation
732,185
400
S
Foods,
Inc.
13,704
2,100
Saizeriya
Company,
Ltd.
43,201
89,600
Sangetsu
Company,
Ltd.
1,360,968
13,000
Sankyu
Inc.
571,990
7,900
Sanyo
Special
Steel
Company,
Ltd.
a
116,776
15,600
Sato
Holdings
Corporation
407,351
50,100
Sawai
Pharmaceutical
Company,
Ltd.
d
2,412,178
11,800
SCREEN
Holdings
Company,
Ltd.
1,044,707
50,100
Seino
Holdings
Company,
Ltd.
699,076
5,400
SEIREN
Company,
Ltd.
95,204
76,200
Sekisui
House,
Ltd.
1,639,073
30,000
Senko
Group
Holdings
Company,
Ltd.
284,413
96,300
Seven
&
I
Holdings
Company,
Ltd.
3,888,730
40,000
Shin-Etsu
Chemical
Company,
Ltd.
6,776,015
13,500
Shin-Etsu
Polymer
Company,
Ltd.
121,199
32,500
Shinko
Electric
Industries
Company,
Ltd.
1,011,485
8,100
SHO-BOND
Holdings
Company,
Ltd.
349,621
298,100
SKY
Perfect
JSAT
Holdings,
Inc.
1,326,570
41,800
Sodick
Company,
Ltd.
390,316
383,800
SoftBank
Corporation
4,993,072
78,400
SoftBank
Group
Corporation
6,674,791
1,217,800
Sojitz
Corporation
3,440,879
46,800
Sony
Corporation
4,953,007
139
Star
Asia
Investment
Corporation
REIT
66,235
29,300
Sugi
Holdings
Company,
Ltd.
2,325,111
298,500
Sumitomo
Corporation
4,272,029
640,200
Sumitomo
Electric
Industries,
Ltd.
9,626,554
18,100
Sumitomo
Heavy
Industries,
Ltd.
503,272
228,400
Sumitomo
Mitsui
Financial
Group,
Inc.
8,278,884
32,000
Sumitomo
Osaka
Cement
Company,
Ltd.
1,019,239
24,800
Sumitomo
Rubber
Industries,
Ltd.
293,595
3,600
Sumitomo
Seika
Chemicals
Company,
Ltd.
131,554
47,802
Sundrug
Company,
Ltd.
1,751,301
4,800
Sysmex
Corporation
518,130
10,200
Taikisha,
Ltd.
279,976
25,100
Taisei
Corporation
968,391
25,100
Taiyo
Holdings
Company,
Ltd.
1,370,896
12,100
Takara
Standard
Company,
Ltd.
182,520
128,400
Takeda
Pharmaceutical
Company,
Ltd.
4,680,459
18,400
Tamura
Corporation
85,263
27,700
Terumo
Corporation
1,002,417
700
Toa
Corporation
15,467
Shares
Common
Stock
(91.9%)
Value
Japan
(20.1%)
-
continued
115,200
Toagosei
Company,
Ltd.
$
1,351,996
11,400
Tokai
Rika
Company,
Ltd.
193,879
59,700
Tokio
Marine
Holdings,
Inc.
2,841,190
19,900
Tokyo
Electron,
Ltd.
8,649,209
23,800
Tokyo
Seimitsu
Company,
Ltd.
1,088,827
5,900
Tokyo
Tatemono
Company,
Ltd.
89,951
18,900
Tokyotokeiba
Company,
Ltd.
956,152
54,900
Toppan
Forms
Company,
Ltd.
555,305
11,500
Towa
Pharmaceutical
Company,
Ltd.
254,129
25,400
Toyo
Tanso
Company,
Ltd.
493,538
6,700
Toyo
Tire
&
Rubber
Company,
Ltd.
119,013
11,900
Toyobo
Company,
Ltd.
153,523
49,600
Toyota
Motor
Corporation
3,859,873
37,900
Transcosmos,
Inc.
1,025,233
3,900
Trend
Micro,
Inc.
195,773
7,200
TS
Tech
Company,
Ltd.
107,578
66,800
Tsubakimoto
Chain
Company
1,843,268
15,900
Tsukui
Corporation
132,779
198,400
TV
Asahi
Holdings
Corporation
3,739,033
7,400
UACJ
Corporation
a
178,908
16,900
Ube
Industries,
Ltd.
360,563
13,900
Universal
Entertainment
Corporation
a
339,530
116,800
Ushio,
Inc.
1,544,155
48,200
USS
Company,
Ltd.
945,363
2,100
V
Technology
Company,
Ltd.
103,780
23,300
Valor
Company,
Ltd.
524,572
13,500
Vector,
Inc.
a
158,691
13,300
Wakita
&
Company,
Ltd.
120,210
8,500
Yellow
Hat,
Ltd.
145,660
4,200
Yokohama
Rubber
Company,
Ltd.
75,449
35,200
Yuasa
Trading
Company,
Ltd.
994,839
20,400
ZIGExN
Company,
Ltd.
80,816
Total
379,021,027
Jersey
(0.5%)
185,094
boohoo
group
plc
a
866,692
190,041
Experian
plc
6,547,135
737,944
Man
Group
plc
1,637,593
Total
9,051,420
Luxembourg
(0.7%)
6,505
Allegro.eu
SA
a,b
91,568
29,275
APERAM
1,316,164
715,206
B&M
European
Value
Retail
SA
5,203,547
2,149
Eurofins
Scientific
SE
a
205,403
268,505
Tenaris
SA
ADR
6,092,378
Total
12,909,060
Malaysia
(<0.1%)
6,600
AEON
Credit
Service
(M)
Berhad
19,566
82,727
Berjaya
Sports
Toto
Berhad
42,088
42,500
Bursa
Malaysia
Berhad
91,740
124,100
Mah
Sing
Group
Berhad
25,342
196,100
Serba
Dinamik
Holdings
Berhad
80,488
17,200
TIME
dotCom
Berhad
59,318
175,800
V.S.
Industry
Berhad
121,241
52,400
Yinson
Holdings
Berhad
68,182
Total
507,965
Malta
(0.1%)
1,581
Kambi
Group
plc
a
83,976
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
131
Shares
Common
Stock
(91.9%)
Value
Malta
(0.1%)
-
continued
131,111
Kindred
Group
plc
SDR
a
$
2,303,879
Total
2,387,855
Mexico
(0.1%)
19,182
America
Movil
SAB
de
CV
ADR
260,492
1,335
Coca-Cola
FEMSA
SAB
de
CV
ADR
61,677
41,600
Controladora
Nemak,
SAB
de
CV
a
5,210
25,800
Corporacion
Inmobiliaria
Vesta,
SAB
de
CV
54,025
20,700
Fibra
Uno
Administracion
SA
de
CV
24,235
1,587
Fomento
Economico
Mexicano
SAB
de
CV
ADR
119,549
2,545
Grupo
Aeroportuario
del
Sureste,
SAB
de
CV
a
45,198
65,033
Grupo
Financiero
Banorte
SAB
de
CV
ADR
a
366,695
22,900
Grupo
Financiero
Inbursa,
SAB
de
CV
a
20,738
63,800
Grupo
Mexico,
SAB
de
CV
336,300
2,265
Industrias
Penoles,
SAB
de
CV
a
29,232
33,000
Megacable
Holdings
SAB
de
CV
118,102
4,500
Regional
SA
a
21,149
210,600
Wal-Mart
de
Mexico,
SAB
de
CV
665,096
Total
2,127,698
Netherlands
(4.9%)
107,251
Aalberts
NV
5,424,087
37,089
AerCap
Holdings
NV
a
2,178,608
7,983
Arcadis
NV
325,003
49,624
ASML
Holding
NV
30,447,869
7,997
Basic-Fit
NV
a,b
307,365
29,780
BE
Semiconductor
Industries
NV
2,487,615
9,541
Brunel
International
NV
123,025
118,900
Euronext
NV
b
11,967,294
34,722
Ferrari
NV
7,263,296
44,437
Flow
Traders
b
1,858,294
80,507
ForFarmers
BV
555,187
328,148
ING
Groep
NV
4,008,043
102,084
Koninklijke
DSM
NV
17,258,208
9,351
RHI
Magnesita
NV
543,694
41,932
Signify
NV
a,b
2,156,704
78
TKH
Group
NV
3,734
88,213
Unilever
NV
4,922,044
5,118
Van
Lanschot
Kempen
NV
143,129
3,065
Yandex
NV
a
199,435
Total
92,172,634
New
Zealand
(0.4%)
200,798
Contact
Energy,
Ltd.
985,179
195,916
Meridian
Energy,
Ltd.
738,571
99,862
Spark
New
Zealand,
Ltd.
312,784
56,757
Xero,
Ltd.
a
5,493,274
Total
7,529,808
Norway
(1.2%)
653,582
DnB
ASA
13,936,283
262,090
Equinor
ASA
5,115,930
157,914
Europris
ASA
b
946,202
20,335
Kongsberg
Gruppen
ASA
466,688
33,804
Orkla
ASA
331,517
5,463
Selvaag
Bolig
ASA
40,303
40,932
SpareBank
1
SMN
514,687
4,742
TGS
Nopec
Geophysical
Company
ASA
75,373
26,515
Veidekke
ASA
368,081
Shares
Common
Stock
(91.9%)
Value
Norway
(1.2%)
-
continued
61,605
Wallenius
Wilhelmsen
ASA
$
200,080
23,721
Yara
International
ASA
1,235,734
Total
23,230,878
Peru
(<0.1%)
12,993
Cia
de
Minas
Buenaventura
SA
ADR
a
130,320
Total
130,320
Philippines
(<0.1%)
2,235
Globe
Telecom,
Inc.
86,664
28,100
Jollibee
Foods
Corporation
102,534
15,160
Manila
Electric
Company
84,995
102,000
Puregold
Price
Club,
Inc.
82,671
Total
356,864
Poland
(0.1%)
23,868
Asseco
Poland
SA
408,121
282
Bank
Handlowy
w
Warszawie
SA
a
2,797
3,608
Bank
Pekao
SA
a
64,376
2,329
CCC
Spolka
Akcyjna
a
53,788
2,363
CD
Projekt
SA
114,321
11,049
Cyfrowy
Polsat
SA
82,646
3,351
Jastrzebska
Spolka
Weglowa
SA
a
25,057
1,127
KGHM
Polska
Miedz
SA
a
54,147
245
Mercator
Medical
Spolka
Akcyjna
21,513
18,000
Powszechna
Kasa
Oszczednosci
Bank
Polski
SA
a
148,947
Total
975,713
Russian
Federation
(0.2%)
79,510
Alrosa
PJSC
111,276
68,336
Gazprom
PJSC
ADR
407,024
5,220
Lukoil
ADR
421,826
13,838
M.Video
PJSC
133,161
2,255
Magnit
OJSC
GDR
33,806
4,726
Mechel
PJSC
ADR
a
8,176
6,641
MMC
Norilsk
Nickel
PJSC
ADR
206,962
859
Novatek
PJSC
GDR
169,581
1,485
Novolipetsk
Steel
OJSC
GDR
47,326
167
PAO
Transneft
323,536
31,220
PJSC
Rostelecom
44,472
53,109
Rosneft
Oil
Company
PJSC
GDR
401,332
335,900
Sberbank
of
Russia
PJSC
1,288,819
13,796
Severstal
PJSC
280,845
553,400
Surgutneftegas
PJSC
307,200
52,394
Surgutneftegas
PJSC
ADR
235,119
Total
4,420,461
Saudi
Arabia
(0.2%)
1,070
Abdullah
Al
Othaim
Markets
Company
36,063
2,443
Advanced
Petrochemical
Company
47,576
31,837
Al
Rajhi
Bank
839,094
6,988
Arab
National
Bank
38,984
14,537
Arabian
Cement
Company
168,616
18,696
Arriyadh
Development
Company
108,777
5,537
Aseer
Trading,
Tourism
and
Manufacturing
Company
a
36,113
8,509
Banque
Saudi
Fransi
75,806
9,861
Eastern
Province
Cement
Company
136,465
7,166
Jarir
Marketing
Company
347,762
5,861
Najran
Cement
Company
35,913
43,925
National
Commercial
Bank
622,466
1,846
National
Medical
Care
Company
26,383
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
132
Shares
Common
Stock
(91.9%)
Value
Saudi
Arabia
(0.2%)
-
continued
3,451
Qassim
Cement
Company
$
78,308
61,209
Riyad
Bank
366,469
7,477
Sahara
International
Petrochemical
Company
44,111
19,794
Saudi
Arabian
Oil
Company
b
190,007
16,269
Saudi
Basic
Industries
Corporation
509,777
20,058
Saudi
British
Bank
140,930
9,207
Saudi
Industrial
Investment
Group
Company
79,905
4,356
Saudi
Industrial
Services
Company
44,694
4,225
Saudi
Telecom
Company
142,941
5,629
Southern
Province
Cement
Company
132,083
9,520
United
International
Transportation
Company
111,439
10,025
Yanbu
Cement
Company
115,345
Total
4,476,027
Singapore
(1.2%)
2,092,900
Ascendas
REIT
4,754,256
2,286
China
Yuchai
International,
Ltd.
35,387
654,200
DBS
Group
Holdings,
Ltd.
14,026,958
182,000
Fortune
Real
Estate
Investment
Trust
a
174,782
19,000
Parkway
Life
REIT
57,673
143,600
Wing
Tai
Holdings,
Ltd.
205,052
1,978,000
Yangzijiang
Shipbuilding
Holdings,
Ltd.
1,887,235
585,500
Yanlord
Land
Group,
Ltd.
541,026
Total
21,682,369
South
Africa
(0.3%)
47,588
AECI,
Ltd.
333,279
3,088
African
Rainbow
Minerals,
Ltd.
57,997
1,777
Anglo
American
Platinum,
Ltd.
259,168
3,666
AngloGold
Ashanti,
Ltd.
ADR
80,542
25,466
Barloworld,
Ltd.
a
155,747
740
Capitec
Bank
Holdings,
Ltd.
a
71,138
3,467
Clicks
Group,
Ltd.
56,468
44,724
DataTec,
Ltd.
a
78,742
46,439
FirstRand,
Ltd.
162,291
9,139
Gold
Fields,
Ltd.
ADR
86,729
2,362
Harmony
Gold
Mining
Company,
Ltd.
ADR
a
10,298
13,397
Impala
Platinum
Holdings,
Ltd.
247,329
14,385
Investec,
Ltd.
42,271
4,416
Kumba
Iron
Ore,
Ltd.
181,861
109,278
Momentum
Metropolitan
Holdings
128,898
11,845
Motus
Holdings,
Ltd.
69,088
7,448
Mr
Price
Group,
Ltd.
97,558
22,579
MTN
Group,
Ltd.
132,617
11,561
MultiChoice
Group,
Ltd.
100,681
7,998
Naspers,
Ltd.
1,915,605
63,026
Ninety
One,
Ltd.
204,962
3,341
Northam
Platinum,
Ltd.
a
58,048
19,308
Old
Mutual,
Ltd.
16,522
10,226
Pick
n
Pay
Stores,
Ltd.
37,221
9,484
Sasol,
Ltd.
a
137,038
8,808
Shoprite
Holdings,
Ltd.
93,700
46,837
Sibanye
Stillwater,
Ltd.
208,509
6,565
Spar
Group,
Ltd.
84,429
16,631
Standard
Bank
Group
141,194
14,782
Telkom
SA
SOC,
Ltd.
42,377
Total
5,292,307
Shares
Common
Stock
(91.9%)
Value
South
Korea
(1.0%)
1,132
Binggrae
Company,
Ltd.
$
59,965
10,957
Cheil
Worldwide,
Inc.
206,371
4,289
Chong
Kun
Dang
Pharmaceutical
Corporation
526,405
5,915
Daou
Technology,
Inc.
142,164
1,505
DB
HiTek
Company,
Ltd.
75,260
8,319
DongKook
Pharmaceutical
Company,
Ltd.
206,353
2,025
Green
Cross
Holdings
Corporation
62,740
2,556
Hancom,
Inc.
a
40,060
2,698
Hankook
Tire
&
Technology
Company,
Ltd.
117,433
2,338
Hansol
Chemical
Company,
Ltd.
500,479
328
Hanwha
Aerospace
Company,
Ltd.
11,929
132,610
Hanwha
Life
Insurance
Corporation,
Ltd.
375,687
162
Hugel,
Inc.
a
25,623
758
Hyundai
Glovis
Company,
Ltd.
126,287
3,923
Hyundai
Green
Food
Company,
Ltd.
36,675
258
Hyundai
Home
Shopping
Network
Corporation
18,492
550
Hyundai
Motor
Company
106,594
552
IS
Dongseo
Company,
Ltd.
27,739
14,427
JB
Financial
Group
Corporation,
Ltd.
83,539
8,763
Kia
Motors
Corporation
644,117
445
Korea
Electric
Terminal
Company,
Ltd.
28,468
1,293
Korea
Investment
Holdings
Company,
Ltd.
98,236
13
Korea
Petrochemical
Industrial
Company,
Ltd.
3,760
466
Korea
Zinc
Company,
Ltd.
168,730
1,159
LG
Chem,
Ltd.
829,407
800
LG
Electronics,
Inc.
106,804
9,100
LG
International
Corporation
257,334
5,168
LS
Electric
Company,
Ltd.
279,324
450
Medy-Tox,
Inc.
75,489
6,062
Meritz
Fire
&
Marine
Insurance
Company,
Ltd.
103,808
15,986
Mirae
Asset
Daewoo
Company,
Ltd.
139,841
877
NAVER
Corporation
293,622
1,252
NCSoft
Corporation
967,725
1,776
Poongsan
Corporation
52,845
3,908
POSCO
1,107,356
33
S-1
Corporation
2,382
1,985
Samsung
Electro-Mechanics
Company,
Ltd.
331,329
90,362
Samsung
Electronics
Company,
Ltd.
6,537,205
596
Samsung
SDI
Company,
Ltd.
350,461
18,428
Samsung
Securities
Corporation,
Ltd.
645,071
706
Sebang
Global
Battery
Company,
Ltd.
48,859
4,878
Sillicon
Works
Company,
Ltd.
327,854
2,156
SK
Holdings
Company,
Ltd.
540,473
14,692
SK
Hynix,
Inc.
1,734,563
234
Taekwang
Industrial
Corporation,
Ltd.
190,658
251
UNID
Company,
Ltd.
15,023
Total
18,630,539
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
133
Shares
Common
Stock
(91.9%)
Value
Spain
(1.4%)
147,178
Acerinox
SA
$
1,927,866
92,099
Applus
Services
SA
a
956,384
722,053
Banco
Bilbao
Vizcaya
Argentaria
SA
3,762,746
849,302
Banco
Santander
SA
a
2,896,815
210,490
Bankinter
SA
1,464,810
111,740
CIA
De
Distribucion
Integral
2,217,130
72,206
Enagas
SA
1,571,993
6,730
Endesa
SA
178,361
22,502
Gestamp
Automocion
SA
a,b
114,263
76,495
Iberdrola
SA
987,319
164,856
Industria
de
Diseno
Textil
SA
5,446,855
8,997
Let's
GOWEX
SA
a,d,e
1
353,974
Liberbank
SA
a
126,852
568,073
Mediaset
Espana
Comunicacion
SA
a
3,374,210
9,850
Pharma
Mar
SA
1,145,332
9,487
Viscofan
SA
655,739
Total
26,826,676
Sweden
(4.2%)
282,785
AB
Industrivarden,
Class
C
a
9,924,013
194,262
Arjo
AB
1,446,256
107,554
Assa
Abloy
AB
3,095,447
302,534
Atlas
Copco
AB,
Class
A
18,444,666
91,245
Atlas
Copco
AB,
Class
B
4,755,456
203,195
Betsson
AB
1,884,981
4,747
Bilia
AB
a
70,268
55,872
Biotage
AB
a
984,871
30,511
Boozt
AB
a,b
634,888
108,528
Castellum
AB
2,394,772
105,233
Dometic
Group
AB
a,b
1,529,617
3,225
Dustin
Group
AB
b
32,929
33,252
Evolution
Gaming
Group
AB
b
4,896,857
5,743
Fabege
AB
77,463
9,784
Getinge
AB
271,730
351,843
Granges
AB
a
4,574,951
472,025
Hexpol
AB
5,330,304
20,855
Holmen
AB
915,487
400,674
Husqvarna
AB
5,776,369
59,896
Inwido
AB
a
987,979
37,286
Kinnevik
AB
1,812,176
16,715
L
E
Lundbergforetagen
AB
a
912,887
221,202
LeoVegas
AB
b
1,297,085
32,280
Lindab
International
AB
653,127
35,401
Nobia
AB
a
270,027
201,936
Nobina
AB
a,b
1,693,717
181
Nolato
AB
a
16,118
27,743
Nordic
Entertainment
Group
AB
a
1,233,680
37,023
Resurs
Holding
AB
b
202,519
68,556
SSAB
AB
362,510
74,001
Thule
Group
AB
a,b
3,217,084
13,384
Trelleborg
AB
340,400
Total
80,040,634
Switzerland
(7.8%)
195
Allreal
Holding
AG
39,283
4,906
ALSO
Holding
AG
1,410,298
12,696
Ascom
Holding
AG
a
195,226
3,061
Bachem
Holding
AG
1,310,656
62,099
Baloise
Holding
AG
10,560,046
17
Belimo
Holding
AG
137,444
1,837
Bucher
Industries
AG
936,077
2
Chocoladefabriken
Lindt
and
Spruengli
AG
182,738
Shares
Common
Stock
(91.9%)
Value
Switzerland
(7.8%)
-
continued
1,314
EMS-CHEMIE
Holding
AG
$
1,173,818
225,513
Ferrexpo
plc
1,164,464
193
Forbo
Holding
AG
350,336
167
Gurit
Holding
AG
423,609
13,204
Huber
&
Suhner
AG
1,023,137
6
Inficon
Holding
AG
6,308
205
Interroll
Holding
AG
725,293
562
Lindt
&
Spruengli
AG
4,895,694
7,674
Lonza
Group
AG
4,292,064
236,216
Nestle
SA
26,332,507
365,787
Novartis
AG
31,267,735
42,172
OC
Oerlikon
Corporation
AG
488,081
7,962
Partners
Group
Holding
AG
10,174,846
78,447
PSP
Swiss
Property
AG
9,557,043
8,098
Roche
Holding
AG
2,623,294
554
SGS
SA
1,574,135
40,303
Sika
AG
11,524,821
33,487
Sonova
Holding
AG
a
8,876,571
14,451
Swiss
Life
Holding
AG
7,101,751
19,982
Tecan
Group
AG
8,864,812
1,985
Vontobel
Holding
AG
151,504
2,552
Zehnder
Group
AG
203,463
Total
147,567,054
Taiwan
(1.0%)
204,000
Capital
Securities
Corporation
111,926
13,000
Chicony
Electronics
Company,
Ltd.
46,406
2,404,000
China
Development
Financial
Holding
Corporation
886,798
98,000
Compal
Electronics,
Inc.
92,013
465,000
CTBC
Financial
Holding
Company,
Ltd.
360,867
143,000
Delta
Electronics,
Inc.
1,458,400
22,000
Feng
Hsin
Iron
&
Steel
Company,
Ltd.
55,024
364,000
Fubon
Financial
Holding
Company,
Ltd.
726,369
23,000
Greatek
Electronics,
Inc.
57,421
6,000
Holtek
Semiconductor,
Inc.
19,726
12,000
Hon
Hai
Precision
Industry
Company,
Ltd.
52,641
50,000
Huaku
Development
Company,
Ltd.
163,631
346,566
IBF
Financial
Holdings
Company,
Ltd.
205,359
108,000
King
Yuan
Electronics
Company,
Ltd.
156,835
11,000
King's
Town
Bank
Company,
Ltd.
15,202
70,354
Makalot
Industrial
Company,
Ltd.
607,797
2,000
MediaTek,
Inc.
68,794
31,000
Namchow
Holdings
Company,
Ltd.
51,695
20,000
Nantex
Industry
Company,
Ltd.
77,028
24,000
President
Securities
Corporation
19,804
64,000
SerComm
Corporation
166,685
156,000
Shinkong
Synthetic
Fibers
Corporation
95,769
224,645
Sigurd
Microelectronics
Corporation
414,103
39,000
Sinbon
Electronics
Company,
Ltd.
362,440
19,000
Sitronix
Technology
Corporation
160,693
14,000
Sunonwealth
Electric
Machine
Industry
Company,
Ltd.
26,077
51,000
Syncmold
Enterprise
Corporation
156,687
52,000
Systex
Corporation
160,038
517,737
Taichung
Commercial
Bank
Company,
Ltd.
208,670
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
134
Shares
Common
Stock
(91.9%)
Value
Taiwan
(1.0%)
-
continued
22,000
Taiwan
Paiho,
Ltd.
$
62,858
484,515
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
10,203,504
108,000
Topco
Scientific
Company,
Ltd.
518,817
17,000
Transcend
Information,
Inc.
38,964
105,000
Tung
Ho
Steel
Enterprise
Corporation
163,821
637,000
United
Microelectronics
Corporation
1,142,561
74,000
USI
Corporation
66,244
26,000
Wah
Lee
Industrial
Corporation
74,972
Total
19,256,639
Thailand
(0.1%)
24,700
Advanced
Info
Service
Public
Company,
Ltd.
NVDR
137,375
5,800
AEON
Thana
Sinsap
(Thailand)
Public
Company,
Ltd.
NVDR
39,877
239,400
AP
(Thailand)
Public
Company,
Ltd.
NVDR
63,003
54,300
Bangkok
Bank
Public
Company,
Ltd.
NVDR
219,525
84,100
Com7
Public
Company,
Ltd.
NVDR
172,961
116,600
Eastern
Polymer
Group
Public
Company,
Ltd.
NVDR
38,092
130,000
Intouch
Holdings
Public
Company,
Ltd.
NVDR
241,967
110,000
Kasikornbank
pcl
NVDR
511,425
161,700
Ratchthani
Leasing
Public
Company,
Ltd.
NVDR
23,426
196,000
Thai
Vegetable
Oil
Public
Company,
Ltd.
NVDR
199,478
Total
1,647,129
Turkey
(<0.1%)
31,129
Anadolu
Efes
Biracilik
ve
Malt
Sanayii
AS
79,575
3,118
Ford
Otomotiv
Sanayi
AS
72,992
49,371
Haci
Omer
Sabanci
Holding
AS
51,568
13,412
Is
Yatirim
Menkul
Degerler
AS
25,523
1,466
Koza
Altin
Isletmeleri
AS
a
21,170
24,442
Koza
Anadolu
Metal
Madencilik
Isletmeleri
AS
a
41,408
5,549
Migros
Ticaret
AS
a
23,564
12,654
Selcuk
Ecza
Deposu
Ticaret
ve
Sanayi
AS
16,106
36,400
TAV
Havalimanlari
Holding
AS
a
90,010
3,289
Turkcell
Iletisim
Hizmetleri
AS
ADR
15,360
58,625
Turkiye
Garanti
Bankasi
AS
a
47,498
6,696
Vestel
Elektronik
Sanayi
ve
Ticaret
AS
30,514
Total
515,288
United
Kingdom
(8.4%)
1,599,185
Auto
Trader
Group
plc
a,b
12,227,476
4,984
Bank
of
Georgia
Group
plc
a
75,579
1,565
Bellway
plc
73,403
1,786,037
BP
plc
7,254,841
199,153
British
American
Tobacco
plc
7,569,936
38,578
Central
Asia
Metals
plc
132,960
408,126
Cineworld
Group
plc
a,c
542,540
29,750
CMC
Markets
plc
b
198,095
30,203
Computacenter
plc
986,688
20,834
Crest
Nicholson
Holdings
plc
a
116,961
53,744
Croda
International
plc
4,702,425
Shares
Common
Stock
(91.9%)
Value
United
Kingdom
(8.4%)
-
continued
17,922
Dechra
Pharmaceuticals
plc
$
847,464
290,937
Diageo
plc
11,952,192
267,294
Eurasia
Mining
plc
a
110,179
136,507
FirstGroup
plc
a
173,228
2,064
Frasers
Group
plc
a
13,105
8,742
Games
Workshop
Group
plc
1,201,058
21,873
Gamesys
Group
plc
582,580
1,027
GB
Group
plc
12,006
8,249
Genus
plc
552,391
3,232
Go-Ahead
Group
plc
a
60,552
178,907
Grainger
plc
657,905
119,928
Halfords
Group
plc
a
628,268
565,979
Halma
plc
18,517,053
5,578
Hill
&
Smith
Holdings
plc
113,172
109,707
Howden
Joinery
Group
plc
1,108,554
669,285
HSBC
Holdings
plc
3,901,065
140,888
IG
Group
Holdings
plc
1,749,484
47,989
IMI
plc
882,183
173,198
Inchcape
plc
a
1,796,941
58,455
InterContinental
Hotels
Group
plc
a
4,019,934
102,426
Intermediate
Capital
Group
plc
2,600,544
1,467,140
ITV
plc
2,428,741
18,600
JD
Sports
Fashion
plc
a
211,442
27,766
Jet2
plc
a
485,370
204,379
John
Wood
Group
plc
a
761,983
49,783
Just
Group
plc
a
69,285
25,511
Kainos
Group
plc
524,731
50,683
LondonMetric
Property
plc
149,224
24,264
Marshalls
plc
a
228,929
33,641
Marston's
plc
a
45,610
715,178
Moneysupermarket.com
Group
plc
2,629,385
15,934
Morgan
Sindall
Group
plc
387,817
26,248
Next
plc
a
2,844,830
79,628
OSB
Group
plc
a
467,741
392,897
PageGroup
plc
a
2,548,859
183,458
Paragon
Banking
Group
plc
1,157,395
54,312
Pennon
Group
plc
729,834
161,274
Playtech
plc
a
982,652
3,987
Provident
Financial
plc
11,928
89,894
Redde
Northgate
plc
381,907
648,734
RELX
plc
16,270,846
1,580
Renishaw
plc
139,501
10,074
Rightmove
plc
a
80,841
53,360
Rio
Tinto
plc
4,070,757
459,655
Royal
Dutch
Shell
plc,
Class
A
8,935,262
741,648
Royal
Dutch
Shell
plc,
Class
B
13,651,921
75,723
Safestore
Holdings
plc
830,440
56,585
Savills
plc
891,070
10,654
Softcat
plc
266,288
29,997
Spirax-Sarco
Engineering
plc
4,713,097
221,113
Spirent
Communications
plc
726,867
61,320
St.
James's
Place
plc
1,076,558
138,611
Stagecoach
Group
plc
a
192,047
194,626
Tate
&
Lyle
plc
2,053,272
946
Travis
Perkins
plc
20,114
583,097
Tritax
Big
Box
REIT
plc
1,442,919
8,976
Vesuvius
plc
66,736
160,812
Virgin
Money
UK
plc
a
422,029
5,916
Vistry
Group
plc
88,840
Total
158,347,830
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
135
Shares
Common
Stock
(91.9%)
Value
United
States
(0.1%)
23,842
Yum
China
Holding,
Inc.
$
1,411,685
Total
1,411,685
Total
Common
Stock
(cost
$1,499,942,027)
1,737,247,571
Shares
Preferred
Stock
(
0.2%
)
Brazil
(<0.1%)
12,900
Bradespar
SA
157,106
Total
157,106
Germany
(0.1%)
3,490
Sixt
SE
272,830
4,481
Volkswagen
AG
1,254,329
Total
1,527,159
South
Korea
(0.1%)
909
LG
Chem,
Ltd.
310,983
23,917
Samsung
Electronics
Company,
Ltd.
1,549,061
Total
1,860,044
Total
Preferred
Stock
(cost
$1,851,546)
3,544,309
Shares
Collateral
Held
for
Securities
Loaned
(
<0.1%
)
2,243,200
Thrivent
Cash
Management
Trust
2,243,200
Total
Collateral
Held
for
Securities
Loaned
(cost
$2,243,200)
2,243,200
Principal
Amount
Long-Term
Fixed
Income
(
<0.1%
)
Venezuela
(<0.1%)
Petroleos
de
Venezuela
SA
$
11,370,000
6.000%, 
10/28/2022
f
312,675
7,010,000
6.000%, 
5/16/2024
f
304,935
1,326,000
6.000%, 
11/15/2026
f
57,681
1,410,000
5.375%, 
4/12/2027
f
61,335
210,000
5.500%, 
4/12/2037
f
9,135
Total
745,761
Total
Long-Term
Fixed
Income
(cost
$7,583,707)
745,761
Shares
or
Principal
Amount
Short-Term
Investments
(
7.0%
)
Federal
Home
Loan
Bank
Discount
Notes
2,500,000
0.082%,
 4/7/2021
g,h
2,500,000
100,000
0.050%,
 4/8/2021
g,h
100,000
1,200,000
0.080%,
 4/14/2021
g,h
1,200,000
100,000
0.080%,
 4/21/2021
g,h
100,000
2,700,000
0.040%,
 5/4/2021
g,h
2,699,975
500,000
0.030%,
 5/18/2021
g,h
499,994
400,000
0.035%,
 6/2/2021
g,h
399,986
6,900,000
0.016%,
 6/16/2021
g,h
6,899,709
1,200,000
0.010%,
 6/21/2021
g,h
1,199,946
7,500,000
0.015%,
 6/23/2021
g,h
7,499,654
Federal
National
Mortgage
Association
Discount
Notes
100,000
0.010%,
 6/16/2021
g,h
99,996
Shares
or
Principal
Amount
Short-Term
Investments
(7.0%)
Value
Thrivent
Core
Short-Term
Reserve
Fund
10,820,809
0.180%
$
108,208,088
Total
Short-Term
Investments
(cost
$131,281,260)
131,407,348
Total
Investments
(cost
$1,642,901,740)
99.2%
$1,875,188,189
Other
Assets
and
Liabilities,
Net
0.8%
16,050,843
Total
Net
Assets
100.0%
$1,891,239,032
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
March
31,
2021,
the
value
of
these
investments
was
$57,989,266
or
3.1%
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
being
accrued
per
the
bankruptcy
agreement
terms.  
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
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
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
1,589,272
Total
lending
$1,589,272
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$2,243,200
Net
amounts
due
to
counterparty
$653,928
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.
SDR
-
Swedish
Depository
Receipt
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
136
Reference
Description:
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
95,277,560
2,969,986
92,307,573
1
Consumer
Discretionary
219,376,279
15,493,512
203,882,767
Consumer
Staples
135,628,004
390,464
135,237,540
Energy
84,130,456
6,859,123
77,271,333
Financials^
319,769,349
1,454,197
318,315,152
0
Health
Care
157,495,399
155,083,221
2,412,178
Industrials
284,845,918
2,246,109
282,599,809
Information
Technology
212,491,733
21,158,397
191,333,336
Materials
133,486,770
1,242,679
132,244,091
Real
Estate
66,723,411
66,723,411
Utilities
28,022,692
42,834
27,979,858
Preferred
Stock
Consumer
Discretionary
1,254,329
1,254,329
Financials
157,106
157,106
Industrials
272,830
272,830
Information
Technology
1,549,061
1,549,061
Materials
310,983
310,983
Long-Term
Fixed
Income
Energy
745,761
745,761
Short-Term
Investments
23,199,260
23,199,260
Subtotal
Investments
in
Securities
$1,764,736,901
$51,857,301
$1,710,467,421
$2,412,179
Other
Investments  *
Total
Affiliated
Short-Term
Investments
108,208,088
Collateral
Held
for
Securities
Loaned
2,243,200
Subtotal
Other
Investments
$110,451,288
Total
Investments
at
Value
$1,875,188,189
*
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.  
^
Level
3
security
in
this
section
is
fair
valued
at
<$1.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
528,540
528,540
Total
Asset
Derivatives
$528,540
$528,540
$–
$–
The
following
table
presents
International
Allocation
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$23,199,260
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
ICE
mini
MSCI
EAFE
Index
1,141
June
2021
$
124,525,060
$
528,540
Total
Futures
Long
Contracts
$
124,525,060
$
528,540
Total
Futures
Contracts
$
124,525,060
$528,540
International
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
137
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$114,217
$77,709
$83,718
$108,208
10,821
5.7%
Total
Affiliated
Short-Term
Investments
114,217
108,208
5.7
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
6,000
31,013
34,770
2,243
2,243
<0.1
Total
Collateral
Held
for
Securities
Loaned
6,000
2,243
<0.1
Total
Value
$120,217
$110,451
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$0
$0
$50
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$50
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
4
Total
Affiliated
Income
from
Securities
Loaned,
Net
$4
Total
Value
$0
$0
$–
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
138
Shares
Common
Stock
(
94.6%
)
Value
Australia
(6.5%)
1,855
Afterpay,
Ltd.
a
$
144,883
5,437
AGL
Energy,
Ltd.
39,969
29,985
AMP,
Ltd.
28,910
2,179
Ampol,
Ltd.
40,792
10,295
APA
Group
78,608
5,014
Aristocrat
Leisure,
Ltd.
131,545
1,689
ASX,
Ltd.
91,425
16,375
Aurizon
Holdings,
Ltd.
48,662
16,340
AusNet
Services,
Ltd.
22,839
24,746
Australia
and
New
Zealand
Banking
Group,
Ltd.
531,308
25,652
BHP
Group,
Ltd.
889,852
4,386
BlueScope
Steel,
Ltd.
64,723
12,886
Brambles,
Ltd.
103,947
814
CIMIC
Group,
Ltd.
a
10,901
4,422
Coca-Cola
Amatil,
Ltd.
45,220
574
Cochlear,
Ltd.
92,331
11,639
Coles
Group,
Ltd.
141,932
15,446
Commonwealth
Bank
of
Australia
1,013,485
4,247
Computershare,
Ltd.
48,732
482
Computershare,
Ltd.,
Rights
a
557
3,243
Crown
Resorts,
Ltd.
a
29,070
3,965
CSL,
Ltd.
801,341
9,521
DEXUS
Property
Group
70,795
14,161
Evolution
Mining,
Ltd.
44,117
14,776
Fortescue
Metals
Group,
Ltd.
225,195
14,479
Goodman
Group
199,931
16,996
GPT
Group
59,622
21,288
Insurance
Australia
Group,
Ltd.
75,835
6,005
Lendlease
Corporation,
Ltd.
59,206
2,997
Macquarie
Group,
Ltd.
349,386
1,122
Magellan
Financial
Group,
Ltd.
38,727
24,029
Medibank
Private,
Ltd.
51,218
34,352
Mirvac
Group
65,530
28,651
National
Australia
Bank,
Ltd.
567,648
7,120
Newcrest
Mining,
Ltd.
134,510
9,592
Northern
Star
Resources,
Ltd.
69,482
3,541
Orica,
Ltd.
37,643
15,367
Origin
Energy,
Ltd.
55,056
8,064
Qantas
Airways,
Ltd.
a
31,297
12,819
QBE
Insurance
Group,
Ltd.
93,880
1,598
Ramsay
Health
Care,
Ltd.
81,619
460
REA
Group,
Ltd.
49,778
3,239
Rio
Tinto,
Ltd.
273,751
15,449
Santos,
Ltd.
83,620
45,287
Scentre
Group
97,507
2,926
SEEK,
Ltd.
a
63,777
3,949
Sonic
Healthcare,
Ltd.
105,602
42,285
South32,
Ltd.
90,750
20,809
Stockland
69,854
11,165
Suncorp
Group,
Ltd.
84,118
11,538
Sydney
Airport,
Ltd.
a
54,520
19,307
Tabcorp
Holdings,
Ltd.
68,980
36,320
Telstra
Corporation,
Ltd.
94,045
3,112
TPG
Telecom,
Ltd.
15,035
23,874
Transurban
Group
a
242,708
6,291
Treasury
Wine
Estates,
Ltd.
49,586
33,762
Vicinity
Centres
42,680
938
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
22,581
9,873
Wesfarmers,
Ltd.
396,486
31,450
Westpac
Banking
Corporation
583,364
1,271
Wisetech
Global,
Ltd.
28,282
8,379
Woodside
Petroleum,
Ltd.
153,150
Shares
Common
Stock
(94.6%)
Value
Australia
(6.5%)
-
continued
11,021
Woolworths,
Ltd.
$
343,241
Total
9,725,144
Austria
(0.2%)
2,438
Erste
Group
Bank
AG
a
82,596
1,285
OMV
AG
65,121
1,289
Raiffeisen
Bank
International
AG
a
28,297
594
Verbund
AG
43,148
1,011
Voestalpine
AG
41,868
Total
261,030
Belgium
(0.8%)
1,528
Ageas
SA
NV
92,270
6,635
Anheuser-Busch
InBev
NV
417,096
464
Colruyt
SA
27,663
269
Elia
System
Operator
SA
29,625
370
Galapagos
NV
a
28,551
986
Groupe
Bruxelles
Lambert
SA
101,998
2,180
KBC
Groep
NV
158,621
1,325
Proximus
SA
28,829
134
Sofina
SA
45,303
647
Solvay
SA
80,523
1,103
UCB
SA
104,856
1,720
Umicore
SA
91,254
Total
1,206,589
Bermuda
(0.2%)
6,000
CK
Infrastructure
Holdings,
Ltd.
35,770
10,200
Hongkong
Land
Holdings,
Ltd.
50,166
1,900
Jardine
Matheson
Holdings,
Ltd.
124,241
1,900
Jardine
Strategic
Holdings,
Ltd.
62,778
Total
272,955
Cayman
Islands
(0.3%)
2,700
ASM
Pacific
Technology,
Ltd.
34,554
15,000
Budweiser
Brewing
Company
APAC,
Ltd.
b
44,900
16,000
ESR
Cayman,
Ltd.
a,b
52,623
1,869
Melco
Resorts
&
Entertainment.
Ltd.
ADR
a
37,212
21,200
Sands
China,
Ltd.
a
106,257
83,500
WH
Group,
Ltd.
b
67,838
15,000
Wharf
Real
Estate
Investment
Company,
Ltd.
84,351
13,600
Wynn
Macau,
Ltd.
a
26,459
Total
454,194
Denmark
(2.3%)
28
A.P.
Moller
-
Maersk
AS,
Class
A
60,930
53
A.P.
Moller
-
Maersk
AS,
Class
B
123,040
1,426
Ambu
AS
66,969
899
Carlsberg
AS
137,870
920
Christian
Hansen
Holding
AS
a
83,568
1,037
Coloplast
AS
155,910
6,018
Danske
Bank
AS
112,581
943
Demant
AS
a
39,918
1,806
DSV
AS
354,235
571
Genmab
AS
a
187,798
1,117
GN
Store
Nord
AS
87,918
607
H.
Lundbeck
AS
20,727
14,994
Novo
Nordisk
AS
1,010,350
1,816
Novozymes
AS
116,200
1,651
Orsted
AS
b
266,579
873
Pandora
AS
a
93,367
70
Rockwool
International
AS
29,463
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
139
Shares
Common
Stock
(94.6%)
Value
Denmark
(2.3%)
-
continued
2,855
TRYG
AS
$
67,289
1,718
Vestas
Wind
Systems
AS
354,401
Total
3,369,113
Finland
(1.1%)
1,241
Elisa
Oyj
74,440
3,875
Fortum
Oyj
103,498
2,383
Kesko
Oyj
72,878
2,966
KONE
Oyj
242,430
3,691
Neste
Oil
Oyj
196,014
49,332
Nokia
Oyj
a
197,015
28,269
Nordea
Bank
Abp
278,739
924
Orion
Oyj
37,022
4,110
Sampo
Oyj
185,321
5,076
Stora
Enso
Oyj
94,693
4,657
UPM-Kymmene
Oyj
167,363
3,872
Wartsila
Corporation
40,590
Total
1,690,003
France
(9.7%)
1,589
Accor
SA
a
59,867
259
Aeroports
de
Paris
SA
a
30,899
4,124
Air
Liquide
SA
673,352
2,312
Alstom
SA
a
115,200
529
Amundi
SA
b
42,279
603
Arkema
SA
73,027
864
AtoS
a
67,362
16,843
AXA
SA
452,139
361
bioMerieux
45,926
9,795
BNP
Paribas
SA
a
596,805
7,697
Bollore
SA
37,145
1,990
Bouygues
SA
79,709
2,563
Bureau
Veritas
SA
a
72,935
1,405
Capgemini
SA
238,889
5,350
Carrefour
SA
96,866
1,475
Cie
Generale
des
Etablissements
Michelin
220,912
1,495
CNP
Assurances
28,356
4,431
Compagnie
de
Saint-Gobain
a
261,658
453
Covivio
38,744
10,068
Credit
Agricole
SA
145,807
5,381
Danone
SA
368,320
22
Dassault
Aviation
a
24,465
1,153
Dassault
Systemes
SE
246,442
2,152
Edenred
112,364
725
Eiffage
SA
72,492
5,416
Electricite
de
France
a
72,652
15,936
Engie
226,377
2,482
EssilorLuxottica
404,337
344
Eurazeo
SE
a
26,170
1,027
Faurecia
a
54,648
400
Gecina
SA
55,061
3,839
Groupe
Eurotunnel
SA
58,850
276
Hermes
International
305,256
129
Iliad
SA
24,504
328
Ipsen
SA
28,118
661
Kering
SA
456,130
1,698
Klepierre
SA
39,522
748
La
Francaise
des
Jeux
SAEM
b
33,991
2,330
Legrand
SA
216,734
2,194
L'Oreal
SA
840,483
2,417
LVMH
Moet
Hennessy
Louis
Vuitton
SE
1,614,445
8,244
Natixis
a
39,405
17,407
Orange
SA
214,210
Shares
Common
Stock
(94.6%)
Value
France
(9.7%)
-
continued
451
Orpea
a
$
52,225
1,824
Pernod-Ricard
SA
341,416
1,942
Publicis
Groupe
SA
118,428
197
Remy
Cointreau
SA
36,386
1,677
Renault
SA
a
72,517
2,790
Safran
SA
a
379,518
9,867
Sanofi
975,693
241
Sartorius
Stedim
Biotech
99,184
4,691
Schneider
Electric
SE
714,607
1,383
SCOR
SE
47,109
217
SEB
SA
38,229
7,074
Societe
Generale
184,949
772
Sodexo
SA
a
73,964
3,015
SUEZ
63,855
512
Teleperformance
SA
186,674
930
Thales
SA
92,302
21,948
Total
SE
1,023,214
799
UbiSoft
Entertainment
SA
a
60,729
1,998
Valeo
SA
67,787
4,702
Veolia
Environnement
SA
120,628
4,542
Vinci
SA
465,202
7,241
Vivendi
SA
237,677
234
Wendel
SA
29,040
2,066
Worldline
SA
a,b
172,960
Total
14,567,146
Germany
(8.5%)
1,658
Adidas
AG
a
517,946
3,590
Allianz
SE
913,138
7,998
BASF
SE
664,660
8,555
Bayer
AG
542,157
2,889
Bayerische
Motoren
Werke
AG
299,812
238
Bechtle
AG
44,648
880
Beiersdorf
AG
92,982
1,348
Brenntag
AG
115,159
351
Carl
Zeiss
Meditec
AG
52,908
8,742
Commerzbank
AG
a
53,646
960
Continental
AG
127,080
1,601
Covestro
AG
b
107,717
7,453
Daimler
AG
665,181
1,129
Delivery
Hero
AG
a,b
146,338
17,131
Deutsche
Bank
AG
a
204,905
1,658
Deutsche
Boerse
AG
275,509
2,603
Deutsche
Lufthansa
AG
a
34,524
8,631
Deutsche
Post
AG
473,506
29,023
Deutsche
Telekom
AG
584,915
2,983
Deutsche
Wohnen
AG
139,153
19,589
E.ON
SE
228,291
1,830
Evonik
Industries
AG
64,755
1,860
Fresenius
Medical
Care
AG
&
Company
KGaA
137,011
3,648
Fresenius
SE
&
Company
KGaA
162,557
605
FUCHS
PETROLUB
SE
28,991
1,339
GEA
Group
AG
54,920
526
Hannover
Rueckversicherung
SE
96,052
1,298
HeidelbergCement
AG
117,934
1,289
HelloFresh
SE
a
96,041
907
Henkel
AG
&
Company
KGaA
89,859
207
Hochtief
AG
18,532
11,372
Infineon
Technologies
AG
483,853
628
KION
Group
AG
62,050
633
Knorr-Bremse
AG
78,994
725
Lanxess
AG
53,508
623
LEG
Immobilien
AG
81,948
1,128
Merck
KGaA
192,950
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
140
Shares
Common
Stock
(94.6%)
Value
Germany
(8.5%)
-
continued
463
MTU
Aero
Engines
AG
$
109,068
1,222
Muenchener
Rueckversicherungs-
Gesellschaft
AG
376,340
504
Nemetschek
SE
32,172
1,336
Porsche
Automobil
Holding
SE
141,751
855
PUMA
SE
a
83,826
45
RATIONAL
AG
34,956
5,605
RWE
AG
219,951
9,093
SAP
SE
1,115,321
310
Sartorius
Aktiengesellschaft
154,554
939
Scout24
AG
b
71,236
6,662
Siemens
AG
1,094,648
3,487
Siemens
Energy
AG
a
125,171
2,345
Siemens
Healthineers
AG
b
127,104
1,123
Symrise
AG
136,256
1,401
TeamViewer
AG
a,b
59,916
9,066
Telefonica
Deutschland
Holding
AG
26,595
1,756
Uniper
SE
63,608
931
United
Internet
AG
37,376
283
Volkswagen
AG
102,669
4,681
Vonovia
SE
305,901
1,335
Zalando
SE
a,b
130,814
Total
12,653,363
Hong
Kong
(2.7%)
105,400
AIA
Group,
Ltd.
1,289,755
11,400
Bank
of
East
Asia,
Ltd.
24,283
32,000
BOC
Hong
Kong
(Holdings),
Ltd.
111,949
22,500
CK
Asset
Holdings,
Ltd.
136,971
23,500
CK
Hutchison
Holdings,
Ltd.
187,749
14,500
CLP
Holdings,
Ltd.
141,182
19,000
Galaxy
Entertainment
Group,
Ltd.
a
171,766
18,000
Hang
Lung
Properties,
Ltd.
46,984
6,700
Hang
Seng
Bank,
Ltd.
130,102
13,000
Henderson
Land
Development
Company,
Ltd.
58,671
23,000
HK
Electric
Investments,
Ltd.
22,853
33,000
HKT
Trust
and
HKT,
Ltd.
47,103
93,250
Hong
Kong
and
China
Gas
Company,
Ltd.
147,856
10,500
Hong
Kong
Exchanges
&
Clearing,
Ltd.
622,922
18,000
Link
REIT
164,227
13,500
MTR
Corporation,
Ltd.
76,781
13,000
New
World
Development
Company,
Ltd.
67,531
36,612
PCCW,
Ltd.
20,676
12,000
Power
Assets
Holdings,
Ltd.
71,028
28,000
Sino
Land
Company,
Ltd.
39,076
17,000
SJM
Holdings,
Ltd.
22,309
11,500
Sun
Hung
Kai
Properties,
Ltd.
174,131
4,500
Swire
Pacific,
Ltd.
33,898
10,200
Swire
Properties,
Ltd.
31,661
12,000
Techtronic
Industries
Company,
Ltd.
205,726
16,000
Xinyi
Glass
Holdings
Company,
Ltd.
52,561
Total
4,099,751
Ireland
(0.8%)
6,849
CRH
plc
320,512
860
DCC
plc
74,597
1,419
Flutter
Entertainment
plc
304,389
3,868
James
Hardie
Industries
plc
116,905
1,387
Kerry
Group
plc
173,222
Shares
Common
Stock
(94.6%)
Value
Ireland
(0.8%)
-
continued
1,345
Kingspan
Group
plc
$
113,786
2,138
Smurfit
Kappa
Group
plc
100,316
Total
1,203,727
Isle
of
Man
(0.1%)
5,092
Entain
plc
a
106,488
Total
106,488
Israel
(0.6%)
370
Azrieli
Group,
Ltd.
22,864
9,908
Bank
Hapoalim,
Ltd.
a
77,055
12,677
Bank
Leumi
Le-Israel
BM
a
83,504
979
Check
Point
Software
Technologies,
Ltd.
a
109,618
338
CyberArk
Software,
Ltd.
a
43,717
231
Elbit
Systems,
Ltd.
32,737
6,133
Israel
Chemicals,
Ltd.
35,954
10,156
Israel
Discount
Bank,
Ltd.
a
42,222
1,222
Mizrahi
Tefahot
Bank,
Ltd.
a
31,865
547
Nice,
Ltd.
a
118,919
9,561
Teva
Pharmaceutical
Industries,
Ltd.
ADR
a
110,334
485
Wix.com,
Ltd.
a
135,422
Total
844,211
Italy
(1.8%)
1,086
Amplifon
SPA
a
40,411
9,626
Assicurazioni
Generali
SPA
192,320
4,323
Atlantia
SPA
a
80,902
5,068
Davide
Campari-Milano
NV
56,724
220
DiaSorin
SPA
35,298
70,824
Enel
SPA
704,514
21,978
Eni
SPA
270,818
5,319
Finecobank
Banca
Fineco
SPA
a
87,018
2,932
Infrastrutture
Wireless
Italiane
SPA
b
32,655
143,818
Intesa
Sanpaolo
SPA
a
389,687
5,419
Mediobanca
SPA
a
60,049
1,691
Moncler
SPA
a
96,842
3,834
Nexi
Spa
a,b
66,893
4,558
Poste
Italiane
SPA
b
57,885
2,106
Prysmian
SPA
68,382
912
Recordati
SPA
49,047
17,595
Snam
SPA
97,546
17,595
Snam
SPA,
Rights
a,c
18
72,958
Telecom
Italia
SPA
39,469
52,489
Telecom
Italia
SPA
Savings
Shares
30,183
12,276
Terna
Rete
Elettrica
Nazionale
SPA
92,710
18,545
UniCredit
SPA
195,889
Total
2,745,260
Japan
(23.7%)
300
ABC-MART,
Inc.
16,941
3,500
ACOM
Company,
Ltd.
16,302
1,700
Advantest
Corporation
149,315
5,700
Aeon
Company,
Ltd.
170,260
900
AEON
Mall
Company,
Ltd.
15,702
1,700
AGC,
Inc.
71,358
1,600
Air
Water,
Inc.
28,070
1,400
Aisin
Seiki
Company,
Ltd.
53,321
4,100
Ajinomoto
Company,
Inc.
84,045
1,600
Alfresca
Holdings
Corporation
30,890
1,400
All
Nippon
Airways
Company,
Ltd.
a
32,575
2,800
Amada
Holdings
Company,
Ltd.
31,269
4,007
Asahi
Group
Holdings,
Ltd.
169,619
1,700
Asahi
Intecc
Company,
Ltd.
46,925
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
141
Shares
Common
Stock
(94.6%)
Value
Japan
(23.7%)
-
continued
10,900
Asahi
Kasei
Corporation
$
125,826
16,200
Astellas
Pharmaceutical,
Inc.
249,550
1,100
Azbil
Corporation
47,426
1,700
Bandai
Namco
Holdings,
Inc.
121,529
500
Bank
of
Kyoto,
Ltd.
30,802
4,700
Bridgestone
Corporation
191,078
1,900
Brother
Industries,
Ltd.
42,200
800
Calbee,
Inc.
20,393
8,700
Canon,
Inc.
197,786
1,600
Capcom
Company,
Ltd.
52,050
1,700
Casio
Computer
Company,
Ltd.
32,126
1,300
Central
Japan
Railway
Company
194,637
400
Century
Tokyo
Leasing
Corporation
26,952
4,600
Chiba
Bank,
Ltd.
30,113
5,600
Chubu
Electric
Power
Company,
Inc.
72,159
5,800
Chugai
Pharmaceutical
Company,
Ltd.
235,676
2,500
Chugoku
Electric
Power
Company,
Inc.
30,717
1,100
Coca-Cola
Bottlers
Japan,
Inc.
19,198
9,000
Concordia
Financial
Group,
Ltd.
36,505
200
COSMOS
Pharmaceutical
Corporation
31,200
3,600
CyberAgent,
Inc.
64,982
2,100
Dai
Nippon
Printing
Company,
Ltd.
44,049
900
Daifuku
Company,
Ltd.
88,442
9,400
Dai-Ichi
Mutual
Life
Insurance
Company,
Ltd.
161,585
14,800
Daiichi
Sankyo
Company,
Ltd.
431,801
2,200
Daikin
Industries,
Ltd.
444,749
600
Daito
Trust
Construction
Company,
Ltd.
69,716
4,900
Daiwa
House
Industry
Company,
Ltd.
143,811
17
Daiwa
House
REIT
Investment
Corporation
45,681
12,600
Daiwa
Securities
Group,
Inc.
65,268
3,800
Denso
Corporation
253,324
1,900
Dentsu
Group,
Inc.
61,162
300
DISCO
Corporation
94,801
2,600
East
Japan
Railway
Company
184,879
2,200
Eisai
Company,
Ltd.
147,871
26,800
Eneos
Holdings,
Inc.
121,588
1,700
FANUC
Corporation
408,692
500
Fast
Retailing
Company,
Ltd.
399,689
1,100
Fuji
Electric
Company,
Ltd.
46,025
3,100
FUJIFILM
Holdings
NPV
184,414
1,700
Fujitsu,
Ltd.
247,373
1,500
Fukuoka
Financial
Group,
Inc.
28,461
36
GLP
J-Reit
59,156
400
GMO
Payment
Gateway,
Inc.
53,151
2,000
Hakuhodo
Dy
Holdings,
Inc.
33,404
1,200
Hamamatsu
Photonics
KK
71,093
2,000
Hankyu
Hanshin
Holdings,
Inc.
64,170
400
Harmonic
Drive
Systems,
Inc.
27,120
200
Hikari
Tsushin,
Inc.
40,323
2,500
Hino
Motors,
Ltd.
21,502
300
Hirose
Electric
Company,
Ltd.
46,247
400
Hisamitsu
Pharmaceutical
Company,
Inc.
26,100
900
Hitachi
Construction
Machinery
Company,
Ltd.
28,841
1,900
Hitachi
Metals,
Ltd.
a
31,363
8,400
Hitachi,
Ltd.
380,758
14,200
Honda
Motor
Company,
Ltd.
428,067
Shares
Common
Stock
(94.6%)
Value
Japan
(23.7%)
-
continued
400
Hoshizaki
Corporation
$
35,768
3,300
Hoya
Corporation
388,399
2,600
Hulic
Company,
Ltd.
30,735
900
IBIDEN
Company,
Ltd.
41,582
1,700
Idemitsu
Kosan
Company,
Ltd.
43,886
1,300
Iida
Group
Holdings
Company,
Ltd.
31,500
8,900
Inpex
Corporation
60,857
4,800
Isuzu
Motors,
Ltd.
51,551
500
ITO
EN,
Ltd.
30,669
11,700
ITOCHU
Corporation
379,852
800
ITOCHU
Techno-Solutions
Corporation
25,852
1,200
Japan
Airlines
Company,
Ltd.
a
26,875
500
Japan
Airport
Terminal
Company,
Ltd.
a
24,660
4,400
Japan
Exchange
Group,
Inc.
103,358
3,500
Japan
Post
Bank
Company,
Ltd.
33,657
13,700
Japan
Post
Holdings
Company,
Ltd.
122,098
2,000
Japan
Post
Insurance
Company,
Ltd.
41,085
11
Japan
Real
Estate
Investment
Corporation
65,003
61
Japan
Retail
Fund
Investment
Corporation
62,493
10,400
Japan
Tobacco,
Inc.
199,788
4,300
JFE
Holdings,
Inc.
53,054
1,800
JSR
Corporation
54,475
3,900
Kajima
Corporation
55,471
1,200
Kakaku.com,
Inc.
32,847
6,100
Kansai
Electric
Power
Company,
Inc.
66,135
1,500
Kansai
Paint
Company,
Ltd.
40,123
4,200
Kao
Corporation
277,908
14,000
KDDI
Corporation
431,350
800
Keihan
Holdings
Company,
Ltd.
33,304
1,900
Keikyu
Corporation
28,728
900
Keio
Corporation
60,595
1,100
Keisei
Electric
Railway
Company,
Ltd.
36,015
1,600
Keyence
Corporation
729,210
1,300
Kikkoman
Corporation
77,525
1,500
Kintetsu
Group
Holdings
Company,
Ltd.
a
57,278
7,200
Kirin
Holdings
Company,
Ltd.
138,155
400
Kobayashi
Pharmaceutical
Company,
Ltd.
37,360
1,100
Kobe
Bussan
Company,
Ltd.
29,493
520
Koei
Tecmo
Holdings
Company,
Ltd.
23,411
900
Koito
Manufacturing
Company,
Ltd.
60,554
7,600
Komatsu,
Ltd.
235,519
800
Konami
Holdings
Corporation
47,760
300
KOSE
Corporation
42,519
8,900
Kubota
Corporation
203,027
2,800
Kuraray
Company,
Ltd.
32,030
900
Kurita
Water
Industries,
Ltd.
38,668
2,800
Kyocera
Corporation
178,164
2,400
Kyowa
Hakko
Kirin
Company,
Ltd.
71,874
3,300
Kyushu
Electric
Power
Company,
Inc.
32,587
1,300
Kyushu
Railway
Company
30,282
700
Lasertec
Corporation
92,443
400
Lawson,
Inc.
19,628
2,000
Lion
Corporation
38,988
2,300
LIXIL
Group
Corporation
64,007
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
142
Shares
Common
Stock
(94.6%)
Value
Japan
(23.7%)
-
continued
3,800
M3,
Inc.
$
260,863
2,000
Makita
Corporation
85,904
14,400
Marubeni
Corporation
120,270
1,700
Marui
Group
Company,
Ltd.
32,041
5,000
Mazda
Motor
Corporation
a
40,967
600
McDonald's
Holdings
Company
(Japan),
Ltd.
27,656
1,600
Medipal
Holdings
Corporation
30,754
1,000
MEIJI
Holdings
Company,
Ltd.
64,306
800
Mercari,
Inc.
a
36,523
3,200
Minebea
Company,
Ltd.
82,133
2,500
MISUMI
Group,
Inc.
72,824
11,200
Mitsubishi
Chemical
Holdings
Corporation
84,119
11,600
Mitsubishi
Corporation
328,849
15,900
Mitsubishi
Electric
Corporation
243,001
10,300
Mitsubishi
Estate
Company,
Ltd.
180,368
1,400
Mitsubishi
Gas
Chemical
Company,
Inc.
34,437
2,800
Mitsubishi
Heavy
Industries,
Ltd.
87,186
106,400
Mitsubishi
UFJ
Financial
Group,
Inc.
568,952
5,800
Mitsubishi
UFJ
Lease
&
Finance
Company,
Ltd.
35,061
14,200
Mitsui
&
Company,
Ltd.
296,359
1,600
Mitsui
Chemicals,
Inc.
50,636
8,000
Mitsui
Fudosan
Company,
Ltd.
182,364
800
Miura
Company,
Ltd.
43,286
21,030
Mizuho
Financial
Group,
Inc.
304,102
2,200
MonotaRO
Company,
Ltd.
59,682
3,900
MS
and
AD
Insurance
Group
Holdings,
Inc.
114,722
5,000
Murata
Manufacturing
Company,
Ltd.
402,477
1,000
Nabtesco
Corporation
45,758
1,600
Nagoya
Railroad
Company,
Ltd.
a
38,118
2,300
NEC
Corporation
135,805
4,200
NEXON
Company,
Ltd.
136,282
2,200
NGK
Insulators,
Ltd.
40,376
1,300
NGK
Spark
Plug
Company,
Ltd.
22,522
700
NH
Foods,
Ltd.
30,041
3,900
Nidec
Corporation
475,519
2,600
Nihon
M&A
Center,
Inc.
70,521
1,000
Nintendo
Company,
Ltd.
563,635
13
Nippon
Building
Fund,
Inc.
76,606
600
Nippon
Express
Company,
Ltd.
44,755
6,500
Nippon
Paint
Holdings
Company,
Ltd.
93,884
18
Nippon
Prologis
REIT,
Inc.
57,880
1,300
Nippon
Sanso
Holdings
Corporation
24,786
400
Nippon
Shinyaku
Company,
Ltd.
29,781
7,000
Nippon
Steel
Corporation
119,474
11,200
Nippon
Telegraph
&
Telephone
Corporation
288,981
1,300
Nippon
Yusen
Kabushiki
Kaisha
44,461
1,100
Nissan
Chemical
Industries,
Ltd.
58,853
20,300
Nissan
Motor
Company,
Ltd.
a
113,409
1,700
Nisshin
Seifun
Group,
Inc.
28,406
600
Nissin
Foods
Holdings
Company,
Ltd.
44,485
700
Nitori
Holdings
Company,
Ltd.
135,593
1,400
Nitto
Denko
Corporation
120,009
27,400
Nomura
Holdings,
Inc.
145,178
1,000
Nomura
Real
Estate
Holdings,
Inc.
24,172
Shares
Common
Stock
(94.6%)
Value
Japan
(23.7%)
-
continued
37
Nomura
Real
Estate
Master
Fund,
Inc.
$
55,707
2,800
Nomura
Research
Institute,
Ltd.
86,990
3,100
NSK,
Ltd.
31,874
5,500
NTT
Data
Corporation
85,299
5,700
Obayashi
Corporation
52,320
600
OBIC
Company,
Ltd.
110,095
2,600
Odakyu
Electric
Railway
Company,
Ltd.
71,141
7,500
Oji
Holdings
Corporation
48,630
10,100
Olympus
Corporation
209,513
1,600
OMRON
Corporation
125,332
3,200
Ono
Pharmaceutical
Company,
Ltd.
83,687
300
Oracle
Corporation
Japan
29,369
1,700
Oriental
Land
Company,
Ltd.
255,818
11,400
ORIX
Corporation
192,806
23
ORIX
JREIT,
Inc.
40,059
3,300
Osaka
Gas
Company,
Ltd.
64,398
900
Otsuka
Corporation
42,200
3,400
Otsuka
Holdings
Company,
Ltd.
144,190
3,600
Pan
Pacific
International
Holdings
Company
84,976
19,200
Panasonic
Corporation
248,630
800
PeptiDream,
Inc.
a
36,647
1,500
Persol
Holdings
Company,
Ltd.
29,485
1,000
Pigeon
Corporation
37,919
800
Pola
Orbis
Holdings,
Inc.
19,294
7,500
Rakuten,
Inc.
89,601
11,800
Recruit
Holdings
Company,
Ltd.
579,453
6,800
Renesas
Electronics
Corporation
a
74,452
18,600
Resona
Holdings,
Inc.
78,129
5,800
Ricoh
Company,
Ltd.
59,120
300
Rinnai
Corporation
33,649
800
Rohm
Company,
Ltd.
78,459
2,100
Ryohin
Keikaku
Company,
Ltd.
49,846
3,100
Santen
Pharmaceutical
Company,
Ltd.
42,753
2,100
SBI
Holdings,
Inc.
57,066
500
SCSK
Corporation
29,715
1,800
Secom
Company,
Ltd.
151,743
1,500
Sega
Sammy
Holdings,
Inc.
23,445
1,800
Seibu
Holdings,
Inc.
a
19,878
2,400
Seiko
Epson
Corporation
39,180
3,100
Sekisui
Chemical
Company,
Ltd.
59,692
5,400
Sekisui
House,
Ltd.
116,155
6,600
Seven
&
I
Holdings
Company,
Ltd.
266,517
2,800
SG
Holdings
Company,
Ltd.
64,286
1,900
Sharp
Corporation
32,898
1,900
Shimadzu
Corporation
68,895
200
SHIMAMURA
Company,
Ltd.
23,111
600
Shimano,
Inc.
143,304
4,800
Shimizu
Corporation
38,866
3,100
Shin-Etsu
Chemical
Company,
Ltd.
525,141
1,400
Shinsei
Bank,
Ltd.
22,625
2,300
Shionogi
&
Company,
Ltd.
124,165
3,500
Shiseido
Company,
Ltd.
235,390
3,600
Shizuoka
Bank,
Ltd.
28,301
500
SMC
Corporation
291,190
25,000
SoftBank
Corporation
325,239
13,600
SoftBank
Group
Corporation
1,157,872
600
Sohgo
Security
Services
Company,
Ltd.
28,392
2,900
Sompo
Holdings,
Inc.
111,117
11,000
Sony
Corporation
1,164,168
800
Square
Enix
Holdings
Company,
Ltd.
44,495
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
143
Shares
Common
Stock
(94.6%)
Value
Japan
(23.7%)
-
continued
1,100
Stanley
Electric
Company,
Ltd.
$
32,854
900
Start
Today
Company,
Ltd.
26,662
5,400
Subaru
Corporation
107,928
2,300
Sumco
Corporation
52,710
13,000
Sumitomo
Chemical
Company,
Ltd.
67,448
10,400
Sumitomo
Corporation
148,841
1,600
Sumitomo
Dainippon
Pharma
Company,
Ltd.
27,911
6,600
Sumitomo
Electric
Industries,
Ltd.
99,243
2,000
Sumitomo
Metal
Mining
Company,
Ltd.
86,670
11,400
Sumitomo
Mitsui
Financial
Group,
Inc.
413,219
2,900
Sumitomo
Mitsui
Trust
Holdings,
Inc.
101,180
2,700
Sumitomo
Realty
&
Development
Company,
Ltd.
95,643
600
Sundrug
Company,
Ltd.
21,982
1,200
Suntory
Beverage
and
Food,
Ltd.
44,749
600
Suzuken
Company,
Ltd.
23,475
3,200
Suzuki
Motor
Corporation
145,758
1,500
Sysmex
Corporation
161,915
4,700
T&D
Holdings,
Inc.
60,478
1,000
Taiheiyo
Cement
Corporation
26,349
1,700
Taisei
Corporation
65,588
300
Taisho
Pharmaceutical
Holdings
Company,
Ltd.
19,386
13,700
Takeda
Pharmaceutical
Company,
Ltd.
499,395
1,100
TDK
Corporation
153,128
1,600
Teijin,
Ltd.
27,606
5,600
Terumo
Corporation
202,655
1,000
THK
Company,
Ltd.
34,695
1,900
TIS,
Inc.
45,488
1,600
Tobu
Railway
Company,
Ltd.
43,097
1,000
Toho
Company,
Ltd.
40,629
600
Toho
Gas
Company,
Ltd.
37,025
3,700
Tohoku
Electric
Power
Company,
Inc.
34,986
5,500
Tokio
Marine
Holdings,
Inc.
261,751
12,600
Tokyo
Electric
Power
Company,
Inc.
a
42,120
1,300
Tokyo
Electron,
Ltd.
565,024
3,300
Tokyo
Gas
Company,
Ltd.
73,520
4,400
Tokyu
Corporation
58,679
5,300
Tokyu
Fudosan
Holdings
Corporation
31,512
2,300
Toppan
Printing
Company,
Ltd.
38,992
12,100
Toray
Industries,
Inc.
78,120
3,400
Toshiba
Corporation
115,081
2,300
Tosoh
Corporation
44,051
1,200
TOTO,
Ltd.
73,855
800
Toyo
Suisan
Kaisha,
Ltd.
33,575
600
Toyoda
Gosei
Company,
Ltd.
15,818
1,300
Toyota
Industries
Corporation
116,167
18,500
Toyota
Motor
Corporation
1,439,670
1,800
Toyota
Tsusho
Corporation
75,799
1,200
Trend
Micro,
Inc.
60,238
300
TSURUHA
Holdings,
Inc.
38,711
3,500
Unicharm
Corporation
146,967
26
United
Urban
Investment
Corporation
34,991
1,900
USS
Company,
Ltd.
37,265
800
Welcia
Holdings
Company,
Ltd.
27,448
1,400
West
Japan
Railway
Company
77,680
1,075
Yakult
Honsha
Company,
Ltd.
54,393
Shares
Common
Stock
(94.6%)
Value
Japan
(23.7%)
-
continued
6,300
Yamada
Denki
Company,
Ltd.
$
34,047
1,200
Yamaha
Corporation
65,392
2,400
Yamaha
Motor
Company,
Ltd.
59,065
2,500
Yamato
Holdings
Company,
Ltd.
68,653
1,100
Yamazaki
Baking
Company,
Ltd.
17,773
2,100
Yaskawa
Electric
Corporation
104,921
2,000
Yokogawa
Electric
Corporation
36,946
23,100
Z
Holdings
Corporation
115,227
Total
35,340,291
Jersey
(0.3%)
7,996
Experian
plc
275,472
10,691
WPP
plc
136,241
Total
411,713
Luxembourg
(0.3%)
6,254
Arcelor
Mittal
180,000
8,717
Aroundtown
SA
62,081
1,157
Eurofins
Scientific
SE
a
110,587
3,339
SES
SA
26,489
4,112
Tenaris
SA
46,498
Total
425,655
Netherlands
(5.1%)
3,691
ABN
AMRO
Group
NV
b
44,809
158
Adyen
NV
a,b
352,563
15,613
Aegon
NV
74,182
5,121
Airbus
Group
NV
a
580,812
1,684
Akzo
Nobel
NV
188,013
394
Argenx
SE
a
108,340
412
ASM
International
NV
119,457
3,707
ASML
Holding
NV
2,274,510
8,929
CNH
Industrial
NV
a
138,223
946
EXOR
NV
79,788
1,100
Ferrari
NV
230,103
1,005
Heineken
Holding
NV
89,302
2,262
Heineken
NV
232,213
33,966
ING
Groep
NV
414,865
654
JDE
Peet's
BV
a
23,976
1,103
Just
Eat
Takeaway.com
NV
a,b
101,494
31,170
Koninklijke
(Royal)
KPN
NV
105,730
9,604
Koninklijke
Ahold
Delhaize
NV
267,884
1,504
Koninklijke
DSM
NV
254,265
7,933
Koninklijke
Philips
NV
a
452,384
590
Koninklijke
Vopak
NV
29,357
2,588
NN
Group
NV
126,247
4,244
Prosus
NV
472,269
2,014
Qiagen
NV
a
97,476
1,040
Randstad
Holding
NV
73,003
17,862
Stellantis
NV
315,962
5,561
STMicroelectronics
NV
212,461
2,329
Wolters
Kluwer
NV
202,286
Total
7,661,974
New
Zealand
(0.3%)
6,476
a2
Milk
Company,
Ltd.
a
39,094
10,921
Auckland
International
Airport,
Ltd.
a
59,963
5,016
Fisher
&
Paykel
Healthcare
Corporation,
Ltd.
112,622
5,931
Mercury
NZ,
Ltd.
26,954
11,180
Meridian
Energy,
Ltd.
42,147
3,490
Ryman
Healthcare,
Ltd.
37,356
16,029
Spark
New
Zealand,
Ltd.
50,206
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
144
Shares
Common
Stock
(94.6%)
Value
New
Zealand
(0.3%)
-
continued
1,059
Xero,
Ltd.
a
$
102,496
Total
470,838
Norway
(0.6%)
2,092
Adevinta
ASA
a
30,824
8,100
DnB
ASA
172,716
8,527
Equinor
ASA
166,445
1,745
Gjensidige
Forsikring
ASA
40,924
3,835
Mowi
ASA
95,249
11,734
Norsk
Hydro
ASA
75,367
6,553
Orkla
ASA
64,265
660
Schibsted
ASA,
Class
A
27,740
853
Schibsted
ASA,
Class
B
a
30,574
6,093
Telenor
ASA
107,345
1,521
Yara
International
ASA
79,236
Total
890,685
Papua
New
Guinea
(<0.1%)
17,223
Oil
Search,
Ltd.
53,849
Total
53,849
Portugal
(0.1%)
24,232
EDP
-
Energias
de
Portugal
SA
138,406
4,374
Galp
Energia
SGPS
SA
50,704
2,196
Jeronimo
Martins
SGPS
SA
36,955
Total
226,065
Singapore
(1.1%)
28,054
Ascendas
REIT
63,728
39,478
CapitaLand
Integrated
Commercial
Trust
63,879
23,000
CapitaLand,
Ltd.
64,444
4,000
City
Developments,
Ltd.
23,791
15,600
DBS
Group
Holdings,
Ltd.
334,486
52,700
Genting
Singapore,
Ltd.
36,107
12,700
Keppel
Corporation,
Ltd.
50,316
18,800
Mapletree
Commercial
Trust
a
29,704
25,223
Mapletree
Logistics
Trust
36,268
29,263
Oversea-Chinese
Banking
Corporation,
Ltd.
256,022
11,700
Singapore
Airlines,
Ltd.
a
48,316
7,000
Singapore
Exchange,
Ltd.
51,917
13,600
Singapore
Technologies
Engineering,
Ltd.
39,393
71,200
Singapore
Telecommunications,
Ltd.
129,375
17,200
Suntec
REIT
19,992
10,300
United
Overseas
Bank,
Ltd.
198,605
3,900
United
Overseas
Land,
Ltd.
22,935
2,400
Venture
Corporation,
Ltd.
35,838
16,800
Wilmar
International,
Ltd.
67,849
Total
1,572,965
Spain
(2.3%)
2,061
ACS
Actividades
de
Construccion
y
Servicios,
SA
68,499
589
Aena
SA
b
95,559
3,931
Amadeus
IT
Holding
SA
a
279,998
58,179
Banco
Bilbao
Vizcaya
Argentaria
SA
303,181
151,000
Banco
Santander
SA
a
515,034
38,799
CaixaBank
SA
120,463
2,760
Cellnex
Telecom
SA
b
159,110
2,172
Enagas
SA
47,287
2,771
Endesa
SA
73,438
Shares
Common
Stock
(94.6%)
Value
Spain
(2.3%)
-
continued
4,247
Ferrovial
SA
$
110,978
2,603
Grifols
SA
68,126
53,281
Iberdrola
SA
687,697
9,518
Industria
de
Diseno
Textil
SA
314,476
2,533
Naturgy
Energy
Group
SA
62,192
3,777
Red
Electrica
Corporacion
SA
66,996
13,071
Repsol
SA
162,237
2,080
Siemens
Gamesa
Renewable
Energy
SA
80,672
44,167
Telefonica
SA
198,570
Total
3,414,513
Supranational
(0.1%)
1,208
Unibail-Rodamco-Westfield
a
96,517
Total
96,517
Sweden
(3.2%)
932
AB
Industrivarden,
Class
A
a
34,289
1,393
AB
Industrivarden,
Class
C
a
48,886
2,745
Alfa
Laval
AB
82,963
8,745
Assa
Abloy
AB
251,685
5,859
Atlas
Copco
AB,
Class
A
357,207
3,405
Atlas
Copco
AB,
Class
B
177,460
2,386
Boliden
AB
88,528
1,968
Electrolux
AB
54,713
5,750
Epiroc
AB,
Class
A
130,262
3,403
Epiroc
AB,
Class
B
70,890
2,079
EQT
AB
68,448
5,310
Essity
Aktiebolag
167,823
1,396
Evolution
Gaming
Group
AB
b
205,582
884
Fastighets
AB
Balder
a
43,765
7,010
Hennes
&
Mauritz
AB
a
157,981
2,456
Hexagon
AB
226,709
3,647
Husqvarna
AB
52,577
878
ICA
Gruppen
AB
42,935
1,289
Investment
AB
Latour
33,400
3,974
Investor
AB
317,085
2,111
Kinnevik
AB
102,599
663
L
E
Lundbergforetagen
AB
a
36,210
1,622
Lundin
Energy
AB
51,015
2,721
NIBE
Industrier
AB
84,387
9,850
Sandvik
AB
a
269,515
2,732
Securitas
AB
46,465
14,200
Skandinaviska
Enskilda
Banken
AB
173,219
2,968
Skanska
AB
74,436
3,322
SKF
AB
94,526
5,286
Svenska
Cellulosa
AB
SCA
93,563
13,575
Svenska
Handelsbanken
AB
147,576
7,902
Swedbank
AB
139,327
1,415
Swedish
Match
AB
110,386
4,357
Tele2
AB
58,776
25,467
Telefonaktiebolaget
LM
Ericsson
337,572
21,410
Telia
Company
AB
92,829
12,401
Volvo
AB
314,056
Total
4,839,645
Switzerland
(9.1%)
16,048
ABB,
Ltd.
488,204
1,352
Adecco
SA
91,195
4,290
Alcon,
Inc.
a
301,052
405
Baloise
Holding
AG
68,871
262
Banque
Cantonale
Vaudoise
25,564
26
Barry
Callebaut
AG
58,866
1
Chocoladefabriken
Lindt
and
Spruengli
AG
91,369
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
145
Shares
Common
Stock
(94.6%)
Value
Switzerland
(9.1%)
-
continued
1,738
Clariant
AG
$
35,067
1,747
Coca-Cola
HBC
AG
55,528
4,545
Compagnie
Financiere
Richemont
SA
436,426
21,357
Credit
Suisse
Group
AG
225,944
71
EMS-CHEMIE
Holding
AG
63,425
1,962
Ferguson
plc
234,372
323
Geberit
AG
205,572
80
Givaudan
SA
308,580
87,194
Glencore
Xstrata
plc
a
342,361
1,953
Julius
Baer
Group,
Ltd.
124,803
471
Kuehne
&
Nagel
International
AG
134,530
4,568
LafargeHolcim,
Ltd.
268,621
9
Lindt
&
Spruengli
AG
78,401
1,435
Logitech
International
SA
150,495
648
Lonza
Group
AG
362,426
25,087
Nestle
SA
2,796,608
19,335
Novartis
AG
1,652,769
163
Partners
Group
Holding
AG
208,302
279
Roche
 Holding 
AG-BR
95,578
6,118
Roche
Holding
AG
1,981,886
176
Schindler
Holding
AG
50,499
355
Schindler
Holding
AG,
Participation
Certificate
104,302
53
SGS
SA
150,594
1,237
Sika
AG
353,726
478
Sonova
Holding
AG
a
126,706
90
Straumann
Holding
AG
112,367
252
Swatch
Group
AG,
Bearer
Shares
72,495
458
Swatch
Group
AG,
Registered
Shares
25,538
265
Swiss
Life
Holding
AG
130,231
663
Swiss
Prime
Site
AG
61,207
2,493
Swiss
Re
AG
245,169
226
Swisscom
AG
121,253
582
Temenos
AG
83,976
31,924
UBS
Group
AG
493,912
397
Vifor
Pharma
AG
54,029
1,310
Zurich
Insurance
Group
AG
557,604
Total
13,630,423
United
Kingdom
(12.8%)
8,491
3i
Group
plc
134,944
1,668
Admiral
Group
plc
71,292
10,682
Anglo
American
plc
418,393
3,441
Antofagasta
plc
80,152
3,920
Ashtead
Group
plc
234,008
3,108
Associated
British
Foods
plc
a
103,259
11,427
AstraZeneca
plc
1,140,518
8,428
Auto
Trader
Group
plc
a,b
64,441
1,002
Aveva
Group
plc
47,266
34,270
Aviva
plc
193,170
28,067
BAE
Systems
plc
195,462
151,361
Barclays
plc
387,625
8,885
Barratt
Developments
plc
a
91,392
1,097
Berkeley
Group
Holdings
plc
67,161
18,392
BHP
Group
plc
529,546
176,496
BP
plc
716,923
19,978
British
American
Tobacco
plc
759,377
7,681
British
Land
Company
plc
53,438
77,876
BT
Group
plc
a
166,135
2,939
Bunzl
plc
94,071
3,531
Burberry
Group
plc
a
92,371
1,783
Coca-Cola
European
Partners
plc
93,001
15,565
Compass
Group
plc
a
314,473
Shares
Common
Stock
(94.6%)
Value
United
Kingdom
(12.8%)
-
continued
1,217
Croda
International
plc
$
106,484
20,365
Diageo
plc
836,629
11,906
Direct
Line
Insurance
Group
plc
51,396
4,440
Evraz
plc
35,359
1,607
Fresnillo
plc
19,141
43,691
GlaxoSmithKline
plc
773,458
3,313
Halma
plc
108,391
2,897
Hargreaves
Lansdown
plc
61,555
1,508
Hikma
Pharmaceuticals
plc
47,306
177,358
HSBC
Holdings
plc
1,033,768
8,258
Imperial
Brands
plc
169,298
13,107
Informa
plc
a
101,202
1,514
InterContinental
Hotels
Group
plc
a
104,117
1,408
Intertek
Group
plc
108,721
15,519
J
Sainsbury
plc
51,896
4,499
JD
Sports
Fashion
plc
a
51,144
1,689
Johnson
Matthey
plc
70,161
18,411
Kingfisher
plc
a
80,696
6,146
Land
Securities
Group
plc
58,440
52,062
Legal
&
General
Group
plc
199,894
617,643
Lloyds
TSB
Group
plc
a
362,326
2,754
London
Stock
Exchange
Group
plc
263,283
22,685
M&G
plc
64,827
42,390
Melrose
Industries
plc
97,476
4,237
Mondi
plc
108,016
30,715
National
Grid
plc
364,607
42,317
Natwest
Group
plc
114,503
1,160
Next
plc
a
125,724
4,242
Ocado
Group
plc
a
118,934
6,557
Pearson
plc
69,917
2,783
Persimmon
plc
112,728
4,795
Phoenix
Group
Holdings
plc
48,478
22,718
Prudential
plc
483,954
6,197
Reckitt
Benckiser
Group
plc
554,698
16,823
RELX
plc
421,936
16,180
Rentokil
Initial
plc
108,025
9,771
Rio
Tinto
plc
745,415
73,010
Rolls-Royce
Holdings
plc
106,026
35,713
Royal
Dutch
Shell
plc,
Class
A
694,227
32,273
Royal
Dutch
Shell
plc,
Class
B
594,067
9,027
RSA
Insurance
Group
plc
84,684
9,519
Sage
Group
plc
80,419
1,085
Schroders
plc
52,348
10,391
SEGRO
plc
134,285
2,083
Severn
Trent
plc
66,255
7,640
Smith
&
Nephew
plc
145,046
3,457
Smiths
Group
plc
73,235
643
Spirax-Sarco
Engineering
plc
101,027
9,071
SSE
plc
181,883
4,684
St.
James's
Place
plc
82,234
23,408
Standard
Chartered
plc
161,178
19,199
Standard
Life
Aberdeen
plc
76,701
31,798
Taylor
Wimpey
plc
a
79,060
67,461
Tesco
plc
212,991
22,895
Unilever
plc
1,277,543
5,950
United
Utilities
Group
plc
76,032
234,046
Vodafone
Group
plc
426,803
1,761
Whitbread
plc
a
83,129
21,012
William
Morrison
Supermarkets
plc
52,847
Total
19,124,341
Total
Common
Stock
(cost
$105,848,056)
141,358,448
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
146
Shares
Preferred
Stock
(
0.5%
)
Value
Germany
(0.5%)
495
Bayerische
Motoren
Werke
AG
$
39,406
1,555
Henkel
AG
&
Company
KGaA
174,835
1,619
Volkswagen
AG
453,193
Total
667,434
Total
Preferred
Stock
(cost
$380,427)
667,434
Shares
Collateral
Held
for
Securities
Loaned
(
<0.1%
)
33,682
Thrivent
Cash
Management
Trust
33,682
Total
Collateral
Held
for
Securities
Loaned
(cost
$33,682)
33,682
Shares
or
Principal
Amount
Short-Term
Investments
(
4.5%
)
Federal
Home
Loan
Bank
Discount
Notes
200,000
0.080%,
 4/7/2021
d,e
200,000
200,000
0.040%,
 5/4/2021
d,e
199,998
100,000
0.030%,
 5/19/2021
d,e
99,999
Thrivent
Core
Short-Term
Reserve
Fund
623,659
0.180%
6,236,591
Total
Short-Term
Investments
(cost
$6,736,577)
6,736,588
Total
Investments
(cost
$112,998,742)
99.6%
$148,796,152
Other
Assets
and
Liabilities,
Net
0.4%
605,045
Total
Net
Assets
100.0%
$149,401,197
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
March
31,
2021,
the
value
of
these
investments
was
$2,505,286
or
1.7%
of
total
net
assets.
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
International
Index
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
Total
lending
$–
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$33,682
Net
amounts
due
to
counterparty
$33,682
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
International
Index
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
7,226,063
7,226,063
Consumer
Discretionary
16,998,453
37,212
16,961,241
Consumer
Staples
14,863,477
93,001
14,770,476
Energy
4,822,429
4,822,429
Financials
25,325,173
25,325,173
Health
Care
16,496,151
110,334
16,385,817
Industrials
21,599,563
21,599,563
Information
Technology
13,358,653
288,757
13,069,896
Materials
10,985,000
10,985,000
Real
Estate
4,475,215
4,475,215
Utilities
5,208,271
5,208,253
18
Preferred
Stock
Consumer
Discretionary
492,599
492,599
Consumer
Staples
174,835
174,835
Short-Term
Investments
499,997
499,997
Subtotal
Investments
in
Securities
$142,525,879
$529,304
$141,996,557
$18
Other
Investments  *
Total
Affiliated
Short-Term
Investments
6,236,591
Collateral
Held
for
Securities
Loaned
33,682
Subtotal
Other
Investments
$6,270,273
Total
Investments
at
Value
$148,796,152
International
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
147
Reference
Description:
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
*
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
6,768
6,768
Total
Liability
Derivatives
$6,768
$6,768
$–
$–
The
following
table
presents
International
Index
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$499,997
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
ICE
mini
MSCI
EAFE
Index
65
June
2021
$
7,130,768
(
$
6,768)
Total
Futures
Long
Contracts
$
7,130,768
(
$
6,768)
Total
Futures
Contracts
$
7,130,768
($6,768)
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
International
Index
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$1,935
$4,887
$585
$6,237
624
4.2%
Total
Affiliated
Short-Term
Investments
1,935
6,237
4.2
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
188
154
34
34
<0.1
Total
Collateral
Held
for
Securities
Loaned
34
<0.1
Total
Value
$1,935
$6,271
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$2
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$2
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$–
$–
$–
Large
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
148
Shares
Common
Stock
(
98.7%
)
Value
Communications
Services
(18.5%)
340,143
Activision
Blizzard,
Inc.
$
31,633,299
82,317
Alphabet,
Inc.,
Class
A
a
169,780,459
368,074
Facebook,
Inc.
a
108,408,835
380,295
Live
Nation
Entertainment,
Inc.
a
32,191,971
750,541
Twitter,
Inc.
a
47,756,924
1,020,176
Uber
Technologies,
Inc.
a
55,609,794
Total
445,381,282
Consumer
Discretionary
(18.6%)
81,875
Amazon.com,
Inc.
a
253,327,800
221,033
Aptiv
plc
a
30,480,451
17,854
Booking
Holdings,
Inc.
a
41,596,963
70,964
Carvana
Company
a
18,620,953
30,157
Chipotle
Mexican
Grill,
Inc.
a
42,847,669
90,658
Tesla,
Inc.
a
60,553,198
Total
447,427,034
Consumer
Staples
(0.5%)
260,839
BJ's
Wholesale
Club
Holdings,
Inc.
a
11,701,238
Total
11,701,238
Financials
(5.7%)
244,685
American
Express
Company
34,608,246
640,055
Charles
Schwab
Corporation
41,718,785
132,701
First
Republic
Bank
22,127,892
109,175
S&P
Global,
Inc.
38,524,582
Total
136,979,505
Health
Care
(13.1%)
116,179
Amgen,
Inc.
28,906,497
337,396
Cerner
Corporation
24,252,024
65,501
Dexcom
,
Inc.
a
23,540,404
296,300
Edwards
Lifesciences
Corporation
a
24,782,532
68,810
Humana,
Inc.
28,848,593
45,233
Intuitive
Surgical,
Inc.
a
33,424,473
274,000
Novo
Nordisk
AS
ADR
18,473,080
91,333
Stryker
Corporation
22,246,892
106,996
Teladoc
Health,
Inc.
a,b
19,446,523
77,263
Thermo
Fisher
Scientific,
Inc.
35,261,288
112,782
Veeva
Systems,
Inc.
a
29,463,170
169,087
Zoetis,
Inc.
26,627,821
Total
315,273,297
Industrials
(3.5%)
120,265
Honeywell
International,
Inc.
26,105,924
73,463
Lockheed
Martin
Corporation
27,144,579
108,468
Norfolk
Southern
Corporation
29,125,827
Total
82,376,330
Information
Technology
(38.8%)
159,328
Adobe,
Inc.
a
75,739,751
1,471,802
Apple,
Inc.
179,780,614
253,336
Mastercard
,
Inc.
90,200,283
784,557
Microsoft
Corporation
184,975,004
133,997
NVIDIA
Corporation
71,545,018
470,853
PayPal
Holdings,
Inc.
a
114,341,943
273,113
QUALCOMM,
Inc.
36,212,053
287,976
Salesforce.com,
Inc.
a
61,013,475
97,727
ServiceNow
,
Inc.
a
48,874,250
Shares
Common
Stock
(98.7%)
Value
Information
Technology
(38.8%)
-
continued
311,161
Square,
Inc.
a
$
70,649,105
Total
933,331,496
Total
Common
Stock
(cost
$1,233,417,136)
2,372,470,182
Shares
Collateral
Held
for
Securities
Loaned
(
0.2%
)
Value
5,436,625
Thrivent
Cash
Management
Trust
5,436,625
Total
Collateral
Held
for
Securities
Loaned
(cost
$5,436,625)
5,436,625
Shares
Preferred
Stock
(
0.1%
)
Value
Consumer
Discretionary
(0.1%)
5,886
Airbnb,
Inc.,
Series
D,
Convertible
a,c
1,050,904
Total
1,050,904
Total
Preferred
Stock
(cost
$119,818)
1,050,904
Shares
Short-Term
Investments
(
1.3%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
3,180,348
0.180%
31,803,476
Total
Short-Term
Investments
(cost
$31,781,004)
31,803,476
Total
Investments
(cost
$1,270,754,583)
100.3%
$2,410,761,187
Other
Assets
and
Liabilities,
Net
(0.3%)
(6,685,992)
Total
Net
Assets
100.0%
$2,404,075,195
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.
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
Growth
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
5,543,375
Total
lending
$5,543,375
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$5,436,625
Net
amounts
due
to
counterparty
$(106,750)
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Large
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
149
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
445,381,282
445,381,282
Consumer
Discretionary
447,427,034
447,427,034
Consumer
Staples
11,701,238
11,701,238
Financials
136,979,505
136,979,505
Health
Care
315,273,297
315,273,297
Industrials
82,376,330
82,376,330
Information
Technology
933,331,496
933,331,496
Preferred
Stock
Consumer
Discretionary
1,050,904
1,050,904
Subtotal
Investments
in
Securities
$2,373,521,086
$2,372,470,182
$–
$1,050,904
Other
Investments  *
Total
Affiliated
Short-Term
Investments
31,803,476
Collateral
Held
for
Securities
Loaned
5,436,625
Subtotal
Other
Investments
$37,240,101
Total
Investments
at
Value
$2,410,761,187
*
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.  
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$37,066
$154,028
$159,291
$31,803
3,180
1.3%
Total
Affiliated
Short-Term
Investments
37,066
31,803
1.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
8,370
52,445
55,378
5,437
5,437
0.2
Total
Collateral
Held
for
Securities
Loaned
8,370
5,437
0.2
Total
Value
$45,436
$37,240
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$8
$(8)
$17
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$17
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
2
Total
Affiliated
Income
from
Securities
Loaned,
Net
$2
Total
Value
$8
$(8)
$–
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
150
Shares
Common
Stock
(
99.4%
)
Value
Communications
Services
(10.2%)
33,217
Activision
Blizzard,
Inc.
$
3,089,181
12,894
Alphabet,
Inc.,
Class
A
a
26,594,133
12,358
Alphabet,
Inc.,
Class
C
a
25,564,129
305,765
AT&T,
Inc.
9,255,506
6,063
Charter
Communications,
Inc.
a
3,740,992
195,985
Comcast
Corporation
10,604,748
6,967
Discovery,
Inc.,
Class
A
a,b
302,786
12,420
Discovery,
Inc.,
Class
C
a
458,174
10,609
DISH
Network
Corporation
a
384,046
12,332
Electronic
Arts,
Inc.
1,669,383
103,131
Facebook,
Inc.
a
30,375,173
14,335
Fox
Corporation,
Class
A
517,637
6,590
Fox
Corporation,
Class
B
230,189
16,750
Interpublic
Group
of
Companies,
Inc.
489,100
6,153
Live
Nation
Entertainment,
Inc.
a
520,851
42,323
Lumen
Technologies,
Inc.
565,012
16,768
News
Corporation,
Class
A
426,410
5,221
News
Corporation,
Class
B
122,485
9,218
Omnicom
Group,
Inc.
683,515
4,938
Take-Two
Interactive
Software,
Inc.
a
872,545
25,043
T-Mobile
US,
Inc.
a
3,137,637
34,220
Twitter,
Inc.
a
2,177,419
177,418
Verizon
Communications,
Inc.
10,316,857
25,190
ViacomCBS,
Inc.
1,136,069
77,827
Walt
Disney
Company
a
14,360,638
Total
147,594,615
Consumer
Discretionary
(13.1%)
2,809
Advance
Auto
Parts,
Inc.
515,423
18,351
Amazon.com,
Inc.
a
56,779,462
11,577
Aptiv
plc
a
1,596,468
951
AutoZone,
Inc.
a
1,335,489
9,881
Best
Buy
Company,
Inc.
1,134,438
1,756
Booking
Holdings,
Inc.
a
4,091,199
10,248
BorgWarner,
Inc.
475,097
8,930
Caesars
Entertainment,
Inc.
a
780,928
6,969
CarMax,
Inc.
a
924,508
34,205
Carnival
Corporation
a
907,801
1,207
Chipotle
Mexican
Grill,
Inc.
a
1,714,930
14,190
D.R.
Horton,
Inc.
1,264,613
5,588
Darden
Restaurants,
Inc.
793,496
10,504
Dollar
General
Corporation
2,128,320
10,084
Dollar
Tree,
Inc.
a
1,154,215
1,664
Domino's
Pizza,
Inc.
612,003
27,715
eBay,
Inc.
1,697,267
5,404
Etsy,
Inc.
a
1,089,825
5,931
Expedia
Group,
Inc.
a
1,020,844
167,544
Ford
Motor
Company
a
2,052,414
8,820
Gap,
Inc.
a
262,660
6,406
Garmin,
Ltd.
844,631
54,364
General
Motors
Company
a
3,123,755
6,191
Genuine
Parts
Company
715,618
14,955
Hanesbrands,
Inc.
294,165
5,477
Hasbro,
Inc.
526,449
11,902
Hilton
Worldwide
Holdings,
Inc.
a
1,439,190
46,158
Home
Depot,
Inc.
14,089,729
10,016
L
Brands,
Inc.
a
619,590
14,082
Las
Vegas
Sands
Corporation
a
855,622
5,702
Leggett
&
Platt,
Inc.
260,296
11,769
Lennar
Corporation
1,191,376
11,964
LKQ
Corporation
a
506,436
31,341
Lowe's
Companies,
Inc.
5,960,431
11,405
Marriott
International,
Inc.
a
1,689,195
Shares
Common
Stock
(99.4%)
Value
Consumer
Discretionary
(13.1%)
-
continued
31,965
McDonald's
Corporation
$
7,164,635
17,609
MGM
Resorts
International
668,966
2,529
Mohawk
Industries,
Inc.
a
486,352
18,989
Netflix,
Inc.
a
9,905,802
16,202
Newell
Brands,
Inc.
433,890
54,513
NIKE,
Inc.
7,244,233
15,572
Norwegian
Cruise
Line
Holdings,
Ltd.
a,b
429,631
148
NVR,
Inc.
a
697,218
3,010
O'Reilly
Automotive,
Inc.
a
1,526,822
6,374
Penn
National
Gaming,
Inc.
a
668,250
1,725
Pool
Corporation
595,539
11,400
PulteGroup,
Inc.
597,816
3,048
PVH
Corporation
a
322,174
2,068
Ralph
Lauren
Corporation
a
254,695
15,263
Ross
Stores,
Inc.
1,830,186
9,386
Royal
Caribbean
Cruises,
Ltd.
a
803,535
50,475
Starbucks
Corporation
5,515,403
11,912
Tapestry,
Inc.
a
490,894
21,474
Target
Corporation
4,253,355
32,922
Tesla,
Inc.
a
21,989,591
51,476
TJX
Companies,
Inc.
3,405,137
4,986
Tractor
Supply
Company
882,921
2,415
Ulta
Beauty,
Inc.
a
746,646
8,087
Under
Armour,
Inc.,
Class
A
a
179,208
8,355
Under
Armour,
Inc.,
Class
C
a
154,233
13,771
VF
Corporation
1,100,578
2,691
Whirlpool
Corporation
592,962
4,511
Wynn
Resorts,
Ltd.
a
565,544
12,864
Yum!
Brands,
Inc.
1,391,628
Total
189,345,727
Consumer
Staples
(6.1%)
79,689
Altria
Group,
Inc.
4,076,889
23,941
Archer-Daniels-Midland
Company
1,364,637
7,831
Brown-Forman
Corporation
540,104
8,702
Campbell
Soup
Company
437,450
10,508
Church
&
Dwight
Company,
Inc.
917,874
5,393
Clorox
Company
1,040,202
166,281
Coca-Cola
Company
8,764,672
36,381
Colgate-Palmolive
Company
2,867,914
20,947
Conagra
Brands,
Inc.
787,607
7,290
Constellation
Brands,
Inc.
1,662,120
18,978
Costco
Wholesale
Corporation
6,689,365
9,850
Estee
Lauder
Companies,
Inc.
2,864,872
26,215
General
Mills,
Inc.
1,607,504
6,283
Hershey
Company
993,719
12,042
Hormel
Foods
Corporation
575,367
4,698
J.M.
Smucker
Company
594,438
10,912
Kellogg
Company
690,730
14,492
Kimberly-Clark
Corporation
2,015,113
27,794
Kraft
Heinz
Company
1,111,760
32,642
Kroger
Company
1,174,786
6,275
Lamb
Weston
Holdings,
Inc.
486,187
10,673
McCormick
&
Company,
Inc.
951,605
8,070
Molson
Coors
Beverage
Company
a
412,780
60,543
Mondelez
International,
Inc.
3,543,582
15,850
Monster
Beverage
Corporation
a
1,443,776
59,149
PepsiCo,
Inc.
8,366,626
66,768
Philip
Morris
International,
Inc.
5,924,992
105,576
Procter
&
Gamble
Company
14,298,158
21,883
Sysco
Corporation
1,723,067
12,636
Tyson
Foods,
Inc.
938,855
30,747
Walgreens
Boots
Alliance,
Inc.
1,688,010
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
151
Shares
Common
Stock
(99.4%)
Value
Consumer
Staples
(6.1%)
-
continued
59,438
Wal-Mart
Stores,
Inc.
$
8,073,464
Total
88,628,225
Energy
(2.8%)
16,200
APA
Corporation
289,980
31,253
Baker
Hughes
Company
675,377
17,125
Cabot
Oil
&
Gas
Corporation
321,607
82,591
Chevron
Corporation
8,654,711
58,083
ConocoPhillips
3,076,656
25,395
Devon
Energy
Corporation
554,881
7,752
Diamondback
Energy,
Inc.
569,694
25,020
EOG
Resources,
Inc.
1,814,701
181,505
Exxon
Mobil
Corporation
10,133,424
38,099
Halliburton
Company
817,605
11,714
Hess
Corporation
828,883
6,406
HollyFrontier
Corporation
229,207
83,469
Kinder
Morgan,
Inc.
1,389,759
33,844
Marathon
Oil
Corporation
361,454
27,923
Marathon
Petroleum
Corporation
1,493,601
16,644
NOV,
Inc.
a
228,356
35,945
Occidental
Petroleum
Corporation
956,856
19,078
ONEOK,
Inc.
966,491
18,727
Phillips
66
1,527,000
8,821
Pioneer
Natural
Resources
Company
1,400,951
59,949
Schlumberger,
Ltd.
1,630,013
17,517
Valero
Energy
Corporation
1,254,217
52,040
Williams
Companies,
Inc.
1,232,828
Total
40,408,252
Financials
(11.3%)
27,456
Aflac,
Inc.
1,405,198
12,985
Allstate
Corporation
1,491,977
27,976
American
Express
Company
3,956,925
37,077
American
International
Group,
Inc.
1,713,328
5,006
Ameriprise
Financial,
Inc.
1,163,645
9,689
Aon
plc
2,229,536
8,306
Arthur
J.
Gallagher
&
Company
1,036,340
2,483
Assurant,
Inc.
352,015
325,721
Bank
of
America
Corporation
12,602,145
34,590
Bank
of
New
York
Mellon
Corporation
1,635,761
81,747
Berkshire
Hathaway,
Inc.
a
20,883,906
6,086
BlackRock,
Inc.
4,588,601
19,689
Capital
One
Financial
Corporation
2,505,031
4,596
Cboe
Global
Markets,
Inc.
453,579
64,162
Charles
Schwab
Corporation
4,182,079
19,303
Chubb,
Ltd.
3,049,295
6,428
Cincinnati
Financial
Corporation
662,663
89,491
Citigroup,
Inc.
6,510,470
18,226
Citizens
Financial
Group,
Inc.
804,678
15,392
CME
Group,
Inc.
3,143,508
5,967
Comerica,
Inc.
428,073
13,149
Discover
Financial
Services
1,249,024
1,715
Everest
Re
Group,
Ltd.
424,994
30,485
Fifth
Third
Bancorp
1,141,663
7,545
First
Republic
Bank
1,258,129
11,701
Franklin
Resources,
Inc.
346,350
14,751
Goldman
Sachs
Group,
Inc.
4,823,577
15,328
Hartford
Financial
Services
Group,
Inc.
1,023,757
43,613
Huntington
Bancshares,
Inc.
685,596
24,082
Intercontinental
Exchange,
Inc.
2,689,478
16,139
Invesco,
Ltd.
407,026
130,829
J.P.
Morgan
Chase
&
Company
19,916,099
Shares
Common
Stock
(99.4%)
Value
Financials
(11.3%)
-
continued
41,537
KeyCorp
$
829,909
7,736
Lincoln
National
Corporation
481,721
9,732
Loews
Corporation
499,057
5,515
M&T
Bank
Corporation
836,129
1,629
MarketAxess
Holdings,
Inc.
811,112
21,788
Marsh
&
McLennan
Companies,
Inc.
2,653,778
32,230
MetLife,
Inc.
1,959,262
6,899
Moody's
Corporation
2,060,110
64,338
Morgan
Stanley
4,996,489
3,540
MSCI,
Inc.
1,484,251
4,946
Nasdaq,
Inc.
729,337
8,931
Northern
Trust
Corporation
938,737
18,244
People's
United
Financial,
Inc.
326,568
18,179
PNC
Financial
Services
Group,
Inc.
3,188,778
10,870
Principal
Financial
Group,
Inc.
651,765
25,113
Progressive
Corporation
2,401,054
17,021
Prudential
Financial,
Inc.
1,550,613
5,255
Raymond
James
Financial,
Inc.
644,053
41,188
Regions
Financial
Corporation
850,944
10,320
S&P
Global,
Inc.
3,641,618
15,082
State
Street
Corporation
1,267,039
2,314
SVB
Financial
Group
a
1,142,329
23,286
Synchrony
Financial
946,809
9,773
T.
Rowe
Price
Group,
Inc.
1,677,047
4,074
Torchmark
Corporation
393,671
10,813
Travelers
Companies,
Inc.
1,626,275
57,759
Truist
Financial
Corporation
3,368,505
58,606
U.S.
Bancorp
3,241,498
8,735
Unum
Group
243,095
6,007
W.R.
Berkley
Corporation
452,627
177,245
Wells
Fargo
&
Company
6,924,962
5,529
Willis
Towers
Watson
plc
1,265,478
7,040
Zions
Bancorporations
NA
386,918
Total
163,235,984
Health
Care
(12.9%)
75,952
Abbott
Laboratories
9,102,088
75,710
AbbVie,
Inc.
8,193,336
1,939
ABIOMED,
Inc.
a
618,017
13,064
Agilent
Technologies,
Inc.
1,660,957
9,426
Alexion
Pharmaceuticals,
Inc.
a
1,441,330
3,087
Align
Technology,
Inc.
a
1,671,703
6,319
AmerisourceBergen
Corporation
746,084
24,762
Amgen,
Inc.
6,161,033
10,500
Anthem,
Inc.
3,768,975
21,656
Baxter
International,
Inc.
1,826,467
12,457
Becton,
Dickinson
and
Company
3,028,920
6,531
Biogen,
Inc.
a
1,827,047
924
Bio-Rad
Laboratories,
Inc.
a
527,761
60,759
Boston
Scientific
Corporation
a
2,348,335
96,058
Bristol-Myers
Squibb
Company
6,064,142
12,591
Cardinal
Health,
Inc.
764,903
7,298
Catalent,
Inc.
a
768,552
24,935
Centene
Corporation
a
1,593,596
13,132
Cerner
Corporation
943,928
15,085
Cigna
Holding
Company
3,646,648
2,107
Cooper
Companies,
Inc.
809,278
56,223
CVS
Health
Corporation
4,229,656
27,176
Danaher
Corporation
6,116,774
3,096
DaVita,
Inc.
a
333,656
9,391
Dentsply
Sirona,
Inc.
599,240
4,123
Dexcom,
Inc.
a
1,481,765
26,775
Edwards
Lifesciences
Corporation
a
2,239,461
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
152
Shares
Common
Stock
(99.4%)
Value
Health
Care
(12.9%)
-
continued
34,106
Eli
Lilly
and
Company
$
6,371,683
53,875
Gilead
Sciences,
Inc.
3,481,941
11,367
HCA
Healthcare,
Inc.
2,140,861
6,108
Henry
Schein,
Inc.
a
422,918
11,047
Hologic,
Inc.
a
821,676
5,525
Humana,
Inc.
2,316,356
3,663
IDEXX
Laboratories,
Inc.
a
1,792,343
6,255
Illumina,
Inc.
a
2,402,295
8,012
Incyte
Corporation
a
651,135
5,047
Intuitive
Surgical,
Inc.
a
3,729,430
8,201
IQVIA
Holding,
Inc.
a
1,583,941
112,701
Johnson
&
Johnson
18,522,409
4,184
Laboratory
Corporation
of
America
Holdings
a
1,067,045
6,817
McKesson
Corporation
1,329,588
57,797
Medtronic
plc
6,827,560
108,484
Merck
&
Company,
Inc.
8,363,032
1,004
Mettler-Toledo
International,
Inc.
a
1,160,313
4,805
PerkinElmer,
Inc.
616,433
5,706
Perrigo
Company
plc
230,922
239,134
Pfizer,
Inc.
8,663,825
5,722
Quest
Diagnostics,
Inc.
734,361
4,514
Regeneron
Pharmaceuticals,
Inc.
a
2,135,754
6,239
ResMed,
Inc.
1,210,491
3,659
STERIS
plc
696,966
14,032
Stryker
Corporation
3,417,915
2,002
Teleflex,
Inc.
831,751
16,883
Thermo
Fisher
Scientific,
Inc.
7,705,064
40,529
UnitedHealth
Group,
Inc.
15,079,625
3,337
Universal
Health
Services,
Inc.
445,122
3,937
Varian
Medical
Systems,
Inc.
a
694,999
11,145
Vertex
Pharmaceuticals,
Inc.
a
2,394,949
51,752
Viatris,
Inc.
a
722,975
2,666
Waters
Corporation
a
757,597
3,177
West
Pharmaceutical
Services,
Inc.
895,215
8,912
Zimmer
Biomet
Holdings,
Inc.
1,426,633
20,372
Zoetis,
Inc.
3,208,183
Total
187,366,958
Industrials
(9.3%)
24,828
3M
Company
4,783,859
5,806
A.O.
Smith
Corporation
392,544
5,326
Alaska
Air
Group,
Inc.
a
368,612
3,890
Allegion
plc
488,662
27,425
American
Airlines
Group,
Inc.
a
655,457
9,885
AMETEK,
Inc.
1,262,611
23,521
Boeing
Company
a
5,991,269
5,737
C.H.
Robinson
Worldwide,
Inc.
547,482
35,033
Carrier
Global
Corporation
1,479,093
23,379
Caterpillar,
Inc.
5,420,889
3,783
Cintas
Corporation
1,291,176
8,916
Copart,
Inc.
a
968,367
31,901
Corteva,
Inc.
1,487,225
32,691
CSX
Corporation
3,152,066
6,346
Cummins,
Inc.
1,644,312
13,438
Deere
&
Company
5,027,693
27,360
Delta
Air
Lines,
Inc.
a
1,320,941
6,159
Dover
Corporation
844,584
17,068
Eaton
Corporation
plc
2,360,163
25,726
Emerson
Electric
Company
2,321,000
5,222
Equifax,
Inc.
945,861
7,262
Expeditors
International
of
Washington,
Inc.
782,045
24,624
Fastenal
Company
1,238,095
Shares
Common
Stock
(99.4%)
Value
Industrials
(9.3%)
-
continued
10,455
FedEx
Corporation
$
2,969,638
14,494
Fortive
Corporation
1,023,856
5,945
Fortune
Brands
Home
and
Security,
Inc.
569,650
2,695
Generac
Holdings,
Inc.
a
882,478
9,941
General
Dynamics
Corporation
1,804,888
375,915
General
Electric
Company
4,935,764
29,819
Honeywell
International,
Inc.
6,472,810
16,732
Howmet
Aerospace,
Inc.
a
537,599
1,726
Huntington
Ingalls
Industries,
Inc.
355,297
3,254
IDEX
Corporation
681,127
15,983
IHS
Markit,
Ltd.
1,546,835
12,355
Illinois
Tool
Works,
Inc.
2,736,880
15,979
Ingersoll
-
Rand,
Inc.
a
786,327
5,577
Jacobs
Engineering
Group,
Inc.
720,939
3,580
JB
Hunt
Transport
Services,
Inc.
601,691
30,881
Johnson
Controls
International
plc
1,842,669
3,895
Kansas
City
Southern
1,027,968
8,813
L3Harris
Technologies,
Inc.
1,786,219
22,416
Linde
Public
Limited
Company
6,279,618
10,568
Lockheed
Martin
Corporation
3,904,876
11,025
Masco
Corporation
660,397
15,340
Nielsen
Holdings
plc
385,801
10,800
Norfolk
Southern
Corporation
2,900,016
6,647
Northrop
Grumman
Corporation
2,151,235
4,111
Old
Dominion
Freight
Line,
Inc.
988,326
17,478
Otis
Worldwide
Corporation
1,196,369
14,874
PACCAR,
Inc.
1,382,092
5,534
Parker-Hannifin
Corporation
1,745,590
7,120
Pentair,
Ltd.
443,718
5,932
Quanta
Services,
Inc.
521,897
65,146
Raytheon
Technologies
Corporation
5,033,831
9,024
Republic
Services,
Inc.
896,534
4,850
Robert
Half
International,
Inc.
378,639
4,980
Rockwell
Automation,
Inc.
1,321,891
9,495
Rollins,
Inc.
326,818
4,499
Roper
Industries,
Inc.
1,814,627
2,324
Snap-On,
Inc.
536,240
25,325
Southwest
Airlines
Company
a
1,546,345
6,898
Stanley
Black
&
Decker,
Inc.
1,377,324
1,587
Teledyne
Technologies,
Inc.
a
656,463
9,729
Textron,
Inc.
545,602
10,222
Trane
Technologies
plc
1,692,354
2,345
TransDigm
Group,
Inc.
a
1,378,672
28,718
Union
Pacific
Corporation
6,329,734
13,654
United
Airlines
Holdings,
Inc.
a
785,651
30,848
United
Parcel
Service,
Inc.
5,243,852
3,095
United
Rentals,
Inc.
a
1,019,214
6,980
Verisk
Analytics,
Inc.
1,233,296
1,886
W.W.
Grainger,
Inc.
756,154
7,613
Wabtec
Corporation
602,645
16,691
Waste
Management,
Inc.
2,153,473
7,733
Xylem,
Inc.
813,357
Total
135,059,292
Information
Technology
(26.5%)
27,192
Accenture
plc
7,511,790
20,551
Adobe,
Inc.
a
9,769,329
51,955
Advanced
Micro
Devices,
Inc.
a
4,078,468
6,998
Akamai
Technologies,
Inc.
a
713,096
25,688
Amphenol
Corporation
1,694,637
15,816
Analog
Devices,
Inc.
2,452,745
3,719
ANSYS,
Inc.
a
1,262,824
676,582
Apple,
Inc.
82,644,491
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
153
Shares
Common
Stock
(99.4%)
Value
Information
Technology
(26.5%)
-
continued
39,344
Applied
Materials,
Inc.
$
5,256,358
2,356
Arista
Networks,
Inc.
a
711,253
9,427
Autodesk,
Inc.
a
2,612,693
18,347
Automatic
Data
Processing,
Inc.
3,457,859
17,502
Broadcom,
Ltd.
8,114,977
4,965
Broadridge
Financial
Solutions,
Inc.
760,142
11,961
Cadence
Design
Systems,
Inc.
a
1,638,537
6,045
CDW
Corporation
1,001,959
181,004
Cisco
Systems,
Inc.
9,359,717
5,272
Citrix
Systems,
Inc.
739,978
22,749
Cognizant
Technology
Solutions
Corporation
1,777,152
32,943
Corning,
Inc.
1,433,350
10,915
DXC
Technology
Company
a
341,203
5,532
Enphase
Energy,
Inc.
a
897,069
2,643
F5
Networks,
Inc.
a
551,383
26,630
Fidelity
National
Information
Services,
Inc.
3,744,444
24,684
Fiserv,
Inc.
a
2,938,383
3,576
FleetCor
Technologies,
Inc.
a
960,621
5,627
FLIR
Systems,
Inc.
317,757
5,807
Fortinet,
Inc.
a
1,070,927
3,804
Gartner,
Inc.
a
694,420
12,658
Global
Payments,
Inc.
2,551,600
55,785
Hewlett
Packard
Enterprise
Company
878,056
53,701
HP,
Inc.
1,705,007
174,196
Intel
Corporation
11,148,544
38,312
International
Business
Machines
Corporation
5,105,457
11,741
Intuit,
Inc.
4,497,507
1,538
IPG
Photonics
Corporation
a
324,426
3,262
Jack
Henry
&
Associates,
Inc.
494,911
14,070
Juniper
Networks,
Inc.
356,393
7,978
Keysight
Technologies,
Inc.
a
1,144,045
6,606
KLA-Tencor
Corporation
2,182,622
6,127
Lam
Research
Corporation
3,647,036
5,719
Leidos
Holdings,
Inc.
550,625
37,591
Mastercard,
Inc.
13,384,276
11,492
Maxim
Integrated
Products,
Inc.
1,050,024
11,544
Microchip
Technology,
Inc.
1,791,860
47,962
Micron
Technology,
Inc.
a
4,230,728
323,363
Microsoft
Corporation
76,239,295
1,839
Monolithic
Power
Systems,
Inc.
649,553
7,247
Motorola
Solutions,
Inc.
1,362,798
9,544
NetApp,
Inc.
693,563
24,948
NortonLifeLock,
Inc.
530,394
26,582
NVIDIA
Corporation
14,192,927
11,876
NXP
Semiconductors
NV
2,391,114
79,520
Oracle
Corporation
5,579,918
13,761
Paychex,
Inc.
1,348,853
2,104
Paycom
Software,
Inc.
a
778,606
50,213
PayPal
Holdings,
Inc.
a
12,193,725
4,856
Qorvo,
Inc.
a
887,191
48,705
QUALCOMM,
Inc.
6,457,796
39,347
Salesforce.com,
Inc.
a
8,336,449
8,612
Seagate
Technology
plc
660,971
8,408
ServiceNow,
Inc.
a
4,204,925
7,070
Skyworks
Solutions,
Inc.
1,297,204
6,533
Synopsys,
Inc.
a
1,618,747
14,186
TE
Connectivity,
Ltd.
1,831,554
7,147
Teradyne,
Inc.
869,647
39,454
Texas
Instruments,
Inc.
7,456,411
10,760
Trimble,
Inc.
a
837,020
Shares
Common
Stock
(99.4%)
Value
Information
Technology
(26.5%)
-
continued
1,740
Tyler
Technologies,
Inc.
a
$
738,682
4,267
VeriSign,
Inc.
a
848,109
72,719
Visa,
Inc.
15,396,794
13,124
Western
Digital
Corporation
876,027
17,618
Western
Union
Company
434,460
10,537
Xilinx,
Inc.
1,305,534
2,292
Zebra
Technologies
Corporation
a
1,112,033
Total
384,680,979
Materials
(2.1%)
9,487
Air
Products
and
Chemicals,
Inc.
2,669,073
5,000
Albemarle
Corporation
730,550
66,968
Amcor
plc
782,186
3,559
Avery
Dennison
Corporation
653,610
14,059
Ball
Corporation
1,191,360
4,895
Celanese
Corporation
733,320
9,175
CF
Industries
Holdings,
Inc.
416,362
31,951
Dow,
Inc.
2,042,947
23,082
DuPont
de
Nemours,
Inc.
1,783,777
5,825
Eastman
Chemical
Company
641,449
10,662
Ecolab,
Inc.
2,282,414
5,546
FMC
Corporation
613,443
62,531
Freeport-McMoRan,
Inc.
a
2,059,146
10,664
International
Flavors
&
Fragrances,
Inc.
1,488,801
16,853
International
Paper
Company
911,242
11,031
LyondellBasell
Industries
NV
1,147,776
2,670
Martin
Marietta
Materials,
Inc.
896,639
14,790
Mosaic
Company
467,512
34,312
Newmont
Mining
Corporation
2,067,984
12,778
Nucor
Corporation
1,025,690
4,066
Packaging
Corporation
of
America
546,796
10,159
PPG
Industries,
Inc.
1,526,491
6,642
Sealed
Air
Corporation
304,336
3,457
Sherwin-Williams
Company
2,551,301
5,683
Vulcan
Materials
Company
959,006
11,298
WestRock
Company
588,061
Total
31,081,272
Real
Estate
(2.4%)
5,450
Alexandria
Real
Estate
Equities,
Inc.
895,435
19,052
American
Tower
Corporation
4,554,571
5,982
AvalonBay
Communities,
Inc.
1,103,739
6,079
Boston
Properties,
Inc.
615,560
14,388
CBRE
Group,
Inc.
a
1,138,235
18,492
Crown
Castle
International
Corporation
3,183,028
12,053
Digital
Realty
Trust,
Inc.
1,697,544
16,025
Duke
Realty
Corporation
671,928
3,828
Equinix,
Inc.
2,601,471
14,699
Equity
Residential
1,052,889
2,787
Essex
Property
Trust,
Inc.
757,618
5,661
Extra
Space
Storage,
Inc.
750,366
2,994
Federal
Realty
Investment
Trust
303,741
23,095
Healthpeak
Properties,
Inc.
733,035
30,242
Host
Hotels
&
Resorts,
Inc.
a
509,578
12,366
Iron
Mountain,
Inc.
457,666
18,540
Kimco
Realty
Corporation
347,625
4,904
Mid-America
Apartment
Communities,
Inc.
707,941
31,705
Prologis,
Inc.
3,360,730
6,520
Public
Storage,
Inc.
1,608,875
16,009
Realty
Income
Corporation
1,016,571
6,772
Regency
Centers
Corporation
384,040
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
154
Shares
Common
Stock
(99.4%)
Value
Real
Estate
(2.4%)
-
continued
4,687
SBA
Communications
Corporation
$
1,300,877
14,084
Simon
Property
Group,
Inc.
1,602,337
12,726
UDR,
Inc.
558,162
16,063
Ventas,
Inc.
856,800
6,727
Vornado
Realty
Trust
305,339
17,895
Welltower,
Inc.
1,281,819
32,060
Weyerhaeuser
Company
1,141,336
Total
35,498,856
Utilities
(2.7%)
28,644
AES
Corporation
767,946
10,713
Alliant
Energy
Corporation
580,216
10,862
Ameren
Corporation
883,732
21,291
American
Electric
Power
Company,
Inc.
1,803,348
7,779
American
Water
Works
Company,
Inc.
1,166,228
5,495
Atmos
Energy
Corporation
543,181
23,648
CenterPoint
Energy,
Inc.
535,627
12,388
CMS
Energy
Corporation
758,393
14,681
Consolidated
Edison,
Inc.
1,098,139
34,541
Dominion
Energy,
Inc.
2,623,734
8,308
DTE
Energy
Company
1,106,127
32,956
Duke
Energy
Corporation
3,181,243
16,261
Edison
International,
Inc.
952,895
8,595
Entergy
Corporation
854,945
9,730
Evergy,
Inc.
579,227
14,706
Eversource
Energy
1,273,393
41,859
Exelon
Corporation
1,830,913
23,290
FirstEnergy
Corporation
807,930
84,027
NextEra
Energy,
Inc.
6,353,281
16,801
NiSource,
Inc.
405,072
10,491
NRG
Energy,
Inc.
395,825
4,832
Pinnacle
West
Capital
Corporation
393,083
32,969
PPL
Corporation
950,826
21,655
Public
Service
Enterprise
Group,
Inc.
1,303,848
12,973
Sempra
Energy
1,719,960
45,301
Southern
Company
2,815,910
13,524
WEC
Energy
Group,
Inc.
1,265,711
23,051
Xcel
Energy,
Inc.
1,533,122
Total
38,483,855
Total
Common
Stock
(cost
$606,489,007)
1,441,384,015
Shares
Collateral
Held
for
Securities
Loaned
(
0.1%
)
Value
701,625
Thrivent
Cash
Management
Trust
701,625
Total
Collateral
Held
for
Securities
Loaned
(cost
$701,625)
701,625
Shares
or
Principal
Amount
Short-Term
Investments
(
0.5%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
800,000
0.055%,
5/5/2021
c,d
799,993
200,000
0.030%,
5/18/2021
c,d
199,997
Shares
or
Principal
Amount
Short-Term
Investments
(0.5%)
Value
Thrivent
Core
Short-Term
Reserve
Fund
688,821
0.180%
$
6,888,208
Total
Short-Term
Investments
(cost
$7,888,159)
7,888,198
Total
Investments
(cost
$615,078,791)
100.0%
$1,449,973,838
Other
Assets
and
Liabilities,
Net
(<0.1%)
(42,362)
Total
Net
Assets
100.0%
$1,449,931,476
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
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
692,409
Total
lending
$692,409
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$701,625
Net
amounts
due
to
counterparty
$9,216
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
155
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
S&P
-
Standard
&
Poor's
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
147,594,615
147,594,615
Consumer
Discretionary
189,345,727
189,345,727
Consumer
Staples
88,628,225
88,628,225
Energy
40,408,252
40,408,252
Financials
163,235,984
163,235,984
Health
Care
187,366,958
187,366,958
Industrials
135,059,292
135,059,292
Information
Technology
384,680,979
384,680,979
Materials
31,081,272
31,081,272
Real
Estate
35,498,856
35,498,856
Utilities
38,483,855
38,483,855
Short-Term
Investments
999,990
999,990
Subtotal
Investments
in
Securities
$1,442,384,005
$1,441,384,015
$999,990
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
6,888,208
Collateral
Held
for
Securities
Loaned
701,625
Subtotal
Other
Investments
$7,589,833
Total
Investments
at
Value
$1,449,973,838
*
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
102,261
102,261
Total
Asset
Derivatives
$102,261
$102,261
$–
$–
The
following
table
presents
Large
Cap
Index
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$599,993
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
44
June
2021
$
8,626,019
$
102,261
Total
Futures
Long
Contracts
$
8,626,019
$
102,261
Total
Futures
Contracts
$
8,626,019
$102,261
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
156
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$7,873
$18,376
$19,361
$6,888
689
0.5%
Total
Affiliated
Short-Term
Investments
7,873
6,888
0.5
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
2,529
3,971
5,798
702
702
0.1
Total
Collateral
Held
for
Securities
Loaned
2,529
702
0.1
Total
Value
$10,402
$7,590
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$3
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$3
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
2
Total
Affiliated
Income
from
Securities
Loaned,
Net
$2
Total
Value
$–
$–
$–
Large
Cap
Value
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
157
Shares
Common
Stock
(
98.1%
)
Value
Communications
Services
(6.8%)
14,194
Alphabet,
Inc.
a
$
29,362,134
967,573
Comcast
Corporation
52,355,375
217,977
Discovery,
Inc.
a,b
9,473,281
914,573
Verizon
Communications,
Inc.
53,182,420
Total
144,373,210
Consumer
Discretionary
(7.3%)
180,003
Aptiv
plc
a
24,822,414
14,783
AutoZone,
Inc.
a
20,759,767
202,855
D.R.
Horton,
Inc.
18,078,438
267,680
Lowe's
Companies,
Inc.
50,907,382
56,736
Mohawk
Industries,
Inc.
a
10,910,900
267,659
Sony
Corporation
ADR
28,374,530
Total
153,853,431
Consumer
Staples
(4.7%)
84,750
Kimberly-Clark
Corporation
11,784,487
98,797
Lamb
Weston
Holdings,
Inc.
7,654,792
303,166
Philip
Morris
International,
Inc.
26,902,951
401,027
Wal-Mart
Stores,
Inc.
54,471,497
Total
100,813,727
Energy
(5.7%)
671,076
BP
plc
ADR
16,340,700
344,881
ConocoPhillips
18,268,346
801,288
Devon
Energy
Corporation
17,508,143
560,448
Enterprise
Products
Partners,
LP
12,341,065
149,606
Exxon
Mobil
Corporation
8,352,503
387,421
Halliburton
Company
8,314,055
334,612
Marathon
Petroleum
Corporation
17,898,396
143,545
Pioneer
Natural
Resources
Company
22,797,817
Total
121,821,025
Financials
(23.5%)
1,585,275
Bank
of
America
Corporation
61,334,290
323,060
Capital
One
Financial
Corporation
41,102,924
280,592
Charles
Schwab
Corporation
18,288,986
132,861
Chubb,
Ltd.
20,988,052
358,554
Citigroup,
Inc.
26,084,803
214,205
Comerica,
Inc.
15,367,067
198,712
Discover
Financial
Services
18,875,653
490,114
Equitable
Holdings,
Inc.
15,987,519
35,949
Goldman
Sachs
Group,
Inc.
11,755,323
444,623
J.P.
Morgan
Chase
&
Company
67,684,959
96,861
Marsh
&
McLennan
Companies,
Inc.
11,797,670
516,663
Morgan
Stanley
40,124,049
208,749
Raymond
James
Financial,
Inc.
25,584,277
94,005
Torchmark
Corporation
9,083,703
418,930
Truist
Financial
Corporation
24,431,998
1,248,300
Wells
Fargo
&
Company
48,771,081
296,402
Zions
Bancorporations
NA
16,290,254
55,364
Zurich
Insurance
Group
AG
23,565,775
Total
497,118,383
Health
Care
(15.0%)
96,754
AbbVie,
Inc.
10,470,718
91,121
Anthem,
Inc.
32,707,883
33,117
Becton,
Dickinson
and
Company
8,052,399
57,944
Biogen,
Inc.
a
16,209,834
238,638
Centene
Corporation
a
15,251,355
131,085
Cigna
Holding
Company
31,688,488
232,669
CVS
Health
Corporation
17,503,689
Shares
Common
Stock
(98.1%)
Value
Health
Care
(15.0%)
-
continued
337,992
GlaxoSmithKline
plc
ADR
b
$
12,062,934
126,607
HCA
Healthcare,
Inc.
23,845,162
315,667
Johnson
&
Johnson
51,879,871
373,561
Medtronic
plc
44,128,761
597,531
Merck
&
Company,
Inc.
46,063,665
56,737
Zimmer
Biomet
Holdings,
Inc.
9,082,459
Total
318,947,218
Industrials
(13.6%)
37,695
Boeing
Company
a
9,601,670
128,394
Carlisle
Companies,
Inc.
21,131,085
155,777
CSX
Corporation
15,020,018
538,226
Delta
Air
Lines,
Inc.
a
25,985,551
142,895
General
Dynamics
Corporation
25,944,016
643,646
Johnson
Controls
International
plc
38,406,357
91,062
Kansas
City
Southern
24,033,083
126,586
L3Harris
Technologies,
Inc.
25,656,451
139,083
Otis
Worldwide
Corporation
9,520,231
85,289
Parker-Hannifin
Corporation
26,902,709
258,507
Raytheon
Technologies
Corporation
19,974,836
145,742
United
Parcel
Service,
Inc.
24,774,683
62,877
United
Rentals,
Inc.
a
20,706,025
Total
287,656,715
Information
Technology
(11.6%)
1,211,880
Cisco
Systems,
Inc.
62,666,315
237,445
Microsoft
Corporation
55,982,408
270,211
Oracle
Corporation
18,960,706
226,723
QUALCOMM,
Inc.
30,061,202
22,530
Samsung
Electronics
Company,
Ltd.
GDR
41,076,297
155,668
Texas
Instruments,
Inc.
29,419,695
57,348
VMware,
Inc.
a,b
8,628,007
Total
246,794,630
Materials
(5.0%)
601,895
Axalta
Coating
Systems,
Ltd.
a
17,804,054
570,559
CF
Industries
Holdings,
Inc.
25,891,968
130,139
Eastman
Chemical
Company
14,330,907
104,061
LyondellBasell
Industries
NV
10,827,547
29,427
Martin
Marietta
Materials,
Inc.
9,882,175
333,238
Nucor
Corporation
26,749,014
Total
105,485,665
Real
Estate
(2.4%)
298,135
American
Campus
Communities,
Inc.
12,870,488
66,927
AvalonBay
Communities,
Inc.
12,348,701
172,248
CBRE
Group,
Inc.
a
13,626,539
669,057
Host
Hotels
&
Resorts,
Inc.
a
11,273,610
Total
50,119,338
Utilities
(2.5%)
244,298
Duke
Energy
Corporation
23,582,086
141,840
Entergy
Corporation
14,108,825
352,054
Exelon
Corporation
15,398,842
Total
53,089,753
Total
Common
Stock
(cost
$1,379,551,188)
2,080,073,095
Large
Cap
Value
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
158
Shares
Collateral
Held
for
Securities
Loaned
(
1.4%
)
Value
29,505,355
Thrivent
Cash
Management
Trust
$
29,505,355
Total
Collateral
Held
for
Securities
Loaned
(cost
$29,505,355)
29,505,355
Shares
Short-Term
Investments
(
1.8%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
3,723,174
0.180%
37,231,737
Total
Short-Term
Investments
(cost
$37,221,632)
37,231,737
Total
Investments
(cost
$1,446,278,175)
101.3%
$2,146,810,187
Other
Assets
and
Liabilities,
Net
(1.3%)
(27,556,172)
Total
Net
Assets
100.0%
$2,119,254,015
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
Large
Cap
Value
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
28,637,190
Total
lending
$28,637,190
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$29,505,355
Net
amounts
due
to
counterparty
$868,165
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
March
31,
2021,
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
144,373,210
144,373,210
Consumer
Discretionary
153,853,431
153,853,431
Consumer
Staples
100,813,727
100,813,727
Energy
121,821,025
121,821,025
Financials
497,118,383
473,552,608
23,565,775
Health
Care
318,947,218
318,947,218
Industrials
287,656,715
287,656,715
Information
Technology
246,794,630
205,718,333
41,076,297
Materials
105,485,665
105,485,665
Real
Estate
50,119,338
50,119,338
Utilities
53,089,753
53,089,753
Subtotal
Investments
in
Securities
$2,080,073,095
$2,015,431,023
$64,642,072
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
37,231,737
Collateral
Held
for
Securities
Loaned
29,505,355
Subtotal
Other
Investments
$66,737,092
Total
Investments
at
Value
$2,146,810,187
*
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.  
Large
Cap
Value
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
159
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$36,041
$67,145
$65,954
$37,232
3,723
1.8%
Total
Affiliated
Short-Term
Investments
36,041
37,232
1.8
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
24,924
92,259
87,678
29,505
29,505
1.4
Total
Collateral
Held
for
Securities
Loaned
24,924
29,505
1.4
Total
Value
$60,965
$66,737
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$19
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$19
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
8
Total
Affiliated
Income
from
Securities
Loaned,
Net
$8
Total
Value
$–
$–
$–
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
160
Principal
Amount
Long-Term
Fixed
Income
(
97.9%
)
Value
Asset-Backed
Securities
(16.8%)
Affirm
Asset
Securitization
Trust
$
3,000,000
0.880%, 
8/15/2025,
Ser.
2021-A,
Class
A
a
$
3,002,371
Aimco
CLO
11,
Ltd.
5,000,000
1.605%, 
(LIBOR
3M
+
1.380%),
10/15/2031,
Ser.
2020-11A,
Class
A1
a,b
5,009,010
Apidos
CLO
XXVI
2,250,000
1.573%, 
(LIBOR
3M
+
1.350%),
7/18/2029,
Ser.
2017-26A,
Class
A1B
a,b
2,250,018
Ares
XXXVII
CLO,
Ltd.
3,400,000
1.411%, 
(LIBOR
3M
+
1.170%),
10/15/2030,
Ser.
2015-4A,
Class
A1R
a,b
3,400,034
Arkansas
Student
Loan
Authority
3,383,414
1.088%, 
(LIBOR
3M
+
0.900%),
11/25/2043,
Ser.
2010-1A
b
3,385,022
Assurant
CLO
III,
Ltd.
4,500,000
1.454%, 
(LIBOR
3M
+
1.230%),
10/20/2031,
Ser.
2018-3A,
Class
A
a,b
4,500,162
Atrium
IX
2,000,000
1.181%, 
(LIBOR
3M
+
0.990%),
5/28/2030,
Ser.
9A,
Class
AR2
a,b
2,000,194
Axis
Equipment
Finance
Receivables
Trust
1,346,980
2.630%, 
6/20/2024,
Ser.
2019-1A,
Class
A2
a
1,369,157
Benefit
Street
Partners
CLO
II,
Ltd.
3,000,000
1.691%, 
(LIBOR
3M
+
1.450%),
7/15/2029,
Ser.
2013-IIA,
Class
A2R2
a,b
2,998,836
Benefit
Street
Partners
CLO
IV,
Ltd.
4,500,000
1.404%, 
(LIBOR
3M
+
1.180%),
1/20/2032,
Ser.
2014-IVA,
Class
ARRR
a,b
4,499,995
BlueMountain
CLO,
Ltd.
3,898,815
1.454%, 
(LIBOR
3M
+
1.230%),
1/20/2029,
Ser.
2013-1A,
Class
A1R2
a,b
3,899,259
1,350,000
1.224%, 
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-3A,
Class
A1R
a,b
1,344,399
CarVal
CLO
II,
Ltd.
4,500,000
1.304%, 
(LIBOR
3M
+
1.110%),
4/20/2032,
Ser.
2019-1A,
Class
ANR
a,b
4,501,251
CBAM,
Ltd.
5,000,000
1.521%, 
(LIBOR
3M
+
1.280%),
2/12/2030,
Ser.
2019-9A,
Class
A
a,b
5,000,195
Commonbond
Student
Loan
Trust
71,366
3.200%, 
6/25/2032,
Ser.
2015-A,
Class
A
a
71,589
567,057
2.550%, 
5/25/2041,
Ser.
2017-AGS,
Class
A1
a
581,626
1,411,598
0.609%, 
(LIBOR
1M
+
0.500%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
a,b
1,402,005
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Asset-Backed
Securities
(16.8%)
-
continued
Conn's
Receivables
Funding
$
1,128,100
1.710%, 
6/16/2025,
Ser.
2020-A,
Class
A
a
$
1,131,810
CoreVest
American
Finance
Trust
1,290,087
3.804%, 
6/15/2051,
Ser.
2018-1,
Class
A
a
1,349,283
Earnest
Student
Loan
Program,
LLC
517,336
2.650%, 
1/25/2041,
Ser.
2017-A,
Class
A2
a
521,014
ECMC
Group
Student
Loan
Trust
4,680,882
1.259%, 
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
a,b
4,728,679
Education
Funding
Trust
2,826,054
2.790%, 
7/25/2041,
Ser.
2020-A,
Class
A
a
2,902,587
Flatiron
CLO,
Ltd.
3,500,000
1.648%, 
(LIBOR
3M
+
1.450%),
5/15/2030,
Ser.
2017-1A,
Class
BR
a,b
3,492,464
Freedom
ABS
Trust
926,748
2.520%, 
3/18/2027,
Ser.
2020-FP1,
Class
A
a
933,029
Galaxy
XX
CLO,
Ltd.
3,750,000
1.224%, 
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-20A,
Class
AR
a,b
3,745,114
Galaxy
XXIII
CLO,
Ltd.
3,800,000
1.532%, 
(LIBOR
3M
+
1.350%),
4/24/2029,
Ser.
2017-23A,
Class
B1R
a,b
3,798,526
Garrison
BSL
CLO,
Ltd.
4,738,961
1.193%, 
(LIBOR
3M
+
0.970%),
7/17/2028,
Ser.
2018-3A,
Class
A1
a,b
4,739,179
Genesis
Private
Label
Amortizing
Trust
1,431,177
2.080%, 
7/20/2030,
Ser.
2020-1,
Class
A
a
1,432,993
Genesis
Sales
Finance
Master
Trust
3,500,000
1.650%, 
9/22/2025,
Ser.
2020-AA,
Class
A
a
3,520,541
GoldenTree
Loan
Opportunities,
Ltd.
3,000,000
1.512%, 
(LIBOR
3M
+
1.300%),
10/29/2029,
Ser.
2014-9A,
Class
AJR2
a,b
3,000,690
Golub
Capital
Partners,
Ltd.
5,903,334
1.374%, 
(LIBOR
3M
+
1.150%),
10/20/2028,
Ser.
2018-39A,
Class
A1
a,b
5,903,618
Invitation
Homes
Trust
5,940,088
1.208%, 
(LIBOR
1M
+
1.100%),
1/17/2038,
Ser.
2018-SFR4,
Class
A
a,b
5,956,640
Kentucky
Higher
Education
Student
Loan
Corporation
Student
Loan
Rev.
1,600,000
0.912%, 
(LIBOR
1M
+
0.780%),
5/25/2021
b
1,600,992
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
161
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Asset-Backed
Securities
(16.8%)
-
continued
Madison
Park
Funding
XI,
Ltd.
$
2,000,000
1.555%, 
(LIBOR
3M
+
1.450%),
7/23/2029,
Ser.
2013-11A,
Class
BR2
a,b
$
2,000,206
Madison
Park
Funding
XXV,
Ltd.
5,000,000
1.835%, 
(LIBOR
3M
+
1.650%),
4/25/2029,
Ser.
2017-25A,
Class
A2R
a,b,c
5,000,000
Madison
Park
Funding,
Ltd.
3,500,000
1.800%, 
(LIBOR
3M
+
1.600%),
1/20/2029,
Ser.
2012-10A,
Class
BR3
a,b
3,500,077
Marlette
Funding
Trust
489,216
3.440%, 
4/16/2029,
Ser.
2019-1A,
Class
A
a
491,983
Mercury
Financial
Credit
Card
Master
Trust
2,500,000
1.540%, 
3/20/2026,
Ser.
2021-1A,
Class
A
a
2,500,378
MRA
Issuance
Trust
5,800,000
1.456%, 
(LIBOR
1M
+
1.350%),
7/15/2021,
Ser.
2020-12,
Class
A1X
a,b
5,801,053
National
Collegiate
Trust
1,111,792
0.404%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
a,b
1,091,736
Nationstar
HECM
Loan
Trust
2,002,541
2.272%, 
11/25/2029,
Ser.
2019-2A,
Class
A
a,b
2,006,193
Navient
Student
Loan
Trust
1,823,706
0.709%, 
(LIBOR
1M
+
0.600%),
7/26/2066,
Ser.
2017-3A,
Class
A2
a,b
1,827,658
811,092
0.859%, 
(LIBOR
1M
+
0.750%),
7/26/2066,
Ser.
2017-1A,
Class
A2
a,b
811,602
Neuberger
Berman
CLO
XIV,
Ltd.
2,500,000
1.249%, 
(LIBOR
3M
+
1.030%),
1/28/2030,
Ser.
2013-14A,
Class
AR2
a,b
2,499,895
Neuberger
Berman
CLO,
Ltd.
3,000,000
1.252%, 
(LIBOR
3M
+
1.030%),
4/22/2029,
Ser.
2014-17A,
Class
AR2
a,b
3,000,633
New
Hampshire
Higher
Education
Loan
Corporation
3,729,827
1.309%, 
(LIBOR
1M
+
1.200%),
9/25/2060,
Ser.
2020-1,
Class
A1B
b
3,850,421
Northstar
Education
Finance,
Inc.
664,742
0.809%, 
(LIBOR
1M
+
0.700%),
12/26/2031,
Ser.
2012-1,
Class
A
a,b
667,796
Octagon
Investment
Partners
XVII,
Ltd.
2,500,000
1.218%, 
(LIBOR
3M
+
1.000%),
1/25/2031,
Ser.
2013-1A,
Class
A1R2
a,b
2,496,628
OneMain
Financial
Issuance
Trust
3,500,000
1.750%, 
9/14/2035,
Ser.
2020-2A,
Class
A
a
3,507,409
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Asset-Backed
Securities
(16.8%)
-
continued
OZLM
VIII,
Ltd.
$
4,067,983
1.393%, 
(LIBOR
3M
+
1.170%),
10/17/2029,
Ser.
2014-8A,
Class
A1RR
a,b
$
4,068,276
OZLM
XI,
Ltd.
2,967,561
1.455%, 
(LIBOR
3M
+
1.250%),
10/30/2030,
Ser.
2015-11A,
Class
A1R
a,b
2,959,311
Palmer
Square
CLO,
Ltd.
2,250,000
1.641%, 
(LIBOR
3M
+
1.400%),
5/21/2029,
Ser.
2015-1A,
Class
A2R3
a,b
2,248,252
Preston
Ridge
Partners
Mortgage
Trust,
LLC
3,085,660
2.363%, 
11/25/2025,
Ser.
2020-6,
Class
A1
a,d
3,092,919
Progress
Residential
Trust
2,997,040
3.422%, 
8/17/2035,
Ser.
2019-SFR1,
Class
A
a
3,063,389
2,000,000
2.078%, 
6/18/2037,
Ser.
2020-SFR2,
Class
A
a
2,042,979
SLM
Student
Loan
Trust
2,474,240
0.509%, 
(LIBOR
1M
+
0.400%),
3/25/2025,
Ser.
2010-1,
Class
A
b
2,432,428
Small
Business
Lending
Trust
260,894
2.850%, 
7/15/2026,
Ser.
2019-A,
Class
A
a
260,515
627,098
2.620%, 
12/15/2026,
Ser.
2020-A,
Class
A
a
629,466
SoFi
Consumer
Loan
Program
Trust
725,947
3.010%, 
4/25/2028,
Ser.
2019-2,
Class
A
a
731,203
420,935
2.020%, 
1/25/2029,
Ser.
2020-1,
Class
A
a
424,991
SoFi
Professional
Loan
Program,
LLC
320,360
2.510%, 
8/25/2033,
Ser.
2015-C,
Class
A2
a
321,076
134,678
0.959%, 
(LIBOR
1M
+
0.850%),
7/25/2039,
Ser.
2016-E,
Class
A1
a,b
134,959
Sound
Point
CLO
XIV,
Ltd.
4,500,000
1.671%, 
(LIBOR
3M
+
1.500%),
1/23/2029,
Ser.
2016-3A,
Class
B1R
a,b
4,498,461
Sound
Point
CLO
XV,
Ltd.
6,000,000
1.685%, 
(LIBOR
3M
+
1.500%),
1/23/2029,
Ser.
2017-1A,
Class
BR
a,b,c
6,000,000
Sound
Point
CLO
XX,
Ltd.
4,000,000
1.315%, 
(LIBOR
3M
+
1.100%),
7/26/2031,
Ser.
2018-2A,
Class
A
a,b
4,000,104
TCW
CLO
2019-1
AMR,
Ltd.
2,500,000
1.869%, 
(LIBOR
3M
+
1.675%),
2/15/2029,
Ser.
2019-1A,
Class
B
a,b
2,500,415
THL
Credit
Wind
River
CLO,
Ltd.
1,500,000
1.654%, 
(LIBOR
3M
+
1.430%),
10/20/2033,
Ser.
2020-1A,
Class
A
a,b
1,506,540
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
162
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Asset-Backed
Securities
(16.8%)
-
continued
Upstart
Securitization
Trust
$
753,752
2.897%, 
9/20/2029,
Ser.
2019-2,
Class
A
a
$
757,336
1,334,306
2.684%, 
1/21/2030,
Ser.
2019-3,
Class
A
a
1,343,865
1,902,387
2.322%, 
4/22/2030,
Ser.
2020-1,
Class
A
a
1,921,076
2,008,421
1.702%, 
11/20/2030,
Ser.
2020-3,
Class
A
a
2,024,288
2,899,980
0.870%, 
3/20/2031,
Ser.
2021-1,
Class
A
a
2,902,256
VCAT
Asset
Securitization,
LLC
2,908,698
2.289%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A1
a,d
2,913,649
Voya
CLO,
Ltd.
1,248,051
1.441%, 
(LIBOR
3M
+
1.200%),
10/15/2030,
Ser.
2012-4A,
Class
A1AR
a,b
1,248,068
Whitebox
CLO
II,
Ltd.
2,250,000
2.192%, 
(LIBOR
3M
+
1.950%),
10/24/2031,
Ser.
2020-2A,
Class
A2
a,b
2,260,316
Total
195,312,088
Basic
Materials
(1.0%)
Air
Products
and
Chemicals,
Inc.
775,000
1.500%, 
10/15/2025
786,261
DowDuPont,
Inc.
2,000,000
4.205%, 
11/15/2023
2,172,591
EI
du
Pont
de
Nemours
&
Company
700,000
1.700%, 
7/15/2025
711,660
Freeport-McMoRan,
Inc.
1,090,000
4.550%, 
11/14/2024
1,191,626
Glencore
Funding,
LLC
1,500,000
3.000%, 
10/27/2022
a
1,547,883
Kinross
Gold
Corporation
1,000,000
5.950%, 
3/15/2024
1,124,782
LYB
International
Finance
III,
LLC
1,100,000
1.250%, 
10/1/2025
1,086,115
Mosaic
Company
650,000
3.250%, 
11/15/2022
675,224
Nucor
Corporation
800,000
2.000%, 
6/1/2025
820,718
Steel
Dynamics,
Inc.
775,000
2.400%, 
6/15/2025
807,744
Syngenta
Finance
NV
1,000,000
4.892%, 
4/24/2025
a
1,070,491
Total
11,995,095
Capital
Goods
(2.1%)
Boeing
Company
2,350,000
4.875%, 
5/1/2025
2,616,603
1,750,000
2.196%, 
2/4/2026
1,744,573
Caterpillar
Financial
Services
Corporation
1,420,000
1.950%, 
11/18/2022
1,456,662
925,000
0.450%, 
9/14/2023
925,320
1,300,000
0.800%, 
11/13/2025
1,276,337
CNH
Industrial
Capital,
LLC
1,020,000
1.950%, 
7/2/2023
1,047,413
General
Electric
Company
795,000
3.450%, 
5/15/2024
853,917
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Capital
Goods
(2.1%)
-
continued
Honeywell
International,
Inc.
$
925,000
1.350%, 
6/1/2025
$
938,353
Huntington
Ingalls
Industries,
Inc.
700,000
3.844%, 
5/1/2025
763,740
John
Deere
Capital
Corporation
1,100,000
0.400%, 
10/10/2023
1,101,566
750,000
0.700%, 
1/15/2026
735,340
Otis
Worldwide
Corporation
1,875,000
2.056%, 
4/5/2025
1,930,588
Republic
Services,
Inc.
1,250,000
2.500%, 
8/15/2024
1,314,995
1,250,000
0.875%, 
11/15/2025
1,223,498
Roper
Technologies,
Inc.
1,250,000
3.650%, 
9/15/2023
1,339,412
750,000
2.350%, 
9/15/2024
783,919
675,000
1.000%, 
9/15/2025
663,441
Textron,
Inc.
2,000,000
3.875%, 
3/1/2025
2,159,746
WW
Grainger,
Inc.
875,000
1.850%, 
2/15/2025
901,650
Total
23,777,073
Collateralized
Mortgage
Obligations
(14.4%)
Antler
Mortgage
Trust
15,026
4.458%, 
6/27/2022,
Ser.
2019-RTL1,
Class
A1
a
15,031
445,793
4.335%, 
7/25/2022,
Ser.
2018-RTL1,
Class
A1
a
446,585
Banc
of
America
Funding
Trust
374,756
2.365%, 
1/25/2035,
Ser.
2004-D,
Class
4A1
b
389,820
1,195,112
5.750%, 
3/25/2036,
Ser.
2006-3,
Class
3A1
1,218,361
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
175,948
2.410%, 
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
b
179,351
531,736
4.753%, 
10/25/2036,
Ser.
2006-4,
Class
1A1
b
524,404
Bellemeade
Re,
Ltd.
3,000,000
2.109%, 
(LIBOR
1M
+
2.000%),
10/25/2030,
Ser.
2020-3A,
Class
M1A
a,b
3,011,556
2,900,000
1.767%, 
(SOFR30A
+
1.750%),
3/25/2031,
Ser.
2021-1A,
Class
M1A
a,b
2,899,232
BRAVO
Residential
Funding
Trust
1,149,879
3.500%, 
3/25/2058,
Ser.
2019-1,
Class
A1C
a
1,181,975
Business
Jet
Securities,
LLC
2,377,625
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
a
2,406,822
Cascade
Funding
Mortgage
Trust
3,355,421
0.946%, 
12/26/2030,
Ser.
2020-HB4,
Class
A
a,b
3,356,279
2,421,135
0.801%, 
2/25/2031,
Ser.
2021-HB5,
Class
A
a,b
2,417,889
3,270,302
1.100%, 
3/20/2041,
Ser.
2021-GRN1,
Class
A
a
3,268,268
2,111,122
4.000%, 
10/25/2068,
Ser.
2018-RM2,
Class
A
a,b
2,198,841
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
163
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Collateralized
Mortgage
Obligations
(14.4%)
-
continued
Citigroup
Mortgage
Loan
Trust,
Inc.
$
990,336
2.879%, 
(CMT
1Y
+
2.400%),
3/25/2036,
Ser.
2006-AR1,
Class
3A1
b
$
986,410
Countrywide
Alternative
Loan
Trust
214,898
5.500%, 
11/25/2035,
Ser.
2005-49CB,
Class
A1
196,194
242,977
5.500%, 
2/25/2036,
Ser.
2005-85CB,
Class
2A2
233,675
Credit
Suisse
Mortgage
Trust
1,194,831
3.453%, 
3/25/2026,
Ser.
2020-BPL2,
Class
A1
a
1,193,200
3,590,613
2.688%, 
3/25/2059,
Ser.
2020-RPL6,
Class
A1
a,b
3,637,451
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
879,615
3.000%, 
8/15/2040,
Ser.
4364,
Class
A
893,792
Federal
National
Mortgage
Association
-
REMIC
1,667,442
4.000%, 
3/25/2029,
Ser.
2012-74,
Class
V
1,695,506
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
2,279
2.250%, 
6/25/2025,
Ser.
2010-58,
Class
PT
2,284
Finance
of
America
HECM
Buyout
2021-HB1
1,472,542
0.875%, 
2/25/2031,
Ser.
2021-HB1,
Class
A
a,b
1,472,213
Foundation
Finance
Trust
3,000,000
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
a
2,982,553
FWD
Securitization
Trust
2,590,275
2.810%, 
6/25/2049,
Ser.
2019-INV1,
Class
A1
a,b
2,681,577
GCT
Commercial
Mortgage
Trust
2,000,000
1.356%, 
(LIBOR
1M
+
1.250%),
2/15/2038,
Ser.
2021-GCT,
Class
B
a,b
2,001,126
Genworth
Mortgage
Insurance
Corporation
2,000,000
2.009%, 
(LIBOR
1M
+
1.900%),
11/26/2029,
Ser.
2019-1,
Class
M1
a,b
2,002,781
GMAC
Mortgage
Corporation
Loan
Trust
29,822
0.609%, 
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,e
38,211
214,173
5.750%, 
10/25/2036,
Ser.
2006-HE3,
Class
A2
b
225,718
GS
Mortgage-Backed
Securities
Trust
2,428,619
3.750%, 
10/25/2057,
Ser.
2018-RPL1,
Class
A1A
a
2,567,873
746,363
2.625%, 
1/25/2059,
Ser.
2019-SL1,
Class
A1
a,b
757,905
1,293,871
1.791%, 
9/27/2060,
Ser.
2020-NQM1,
Class
A2
a,b
1,303,666
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Collateralized
Mortgage
Obligations
(14.4%)
-
continued
GSAA
Home
Equity
Trust
$
844,141
4.555%, 
8/25/2034,
Ser.
2004-10,
Class
M2
$
891,759
Homeward
Opportunities
Fund
I
Trust
2,531,915
3.454%, 
1/25/2059,
Ser.
2019-1,
Class
A1
a,b
2,557,748
Homeward
Opportunities
Fund
Trust
4,500,000
3.228%, 
8/25/2025,
Ser.
2020-BPL1,
Class
A1
a,d
4,507,033
J.P.
Morgan
Alternative
Loan
Trust
896,478
3.120%, 
3/25/2036,
Ser.
2006-A1,
Class
2A1
b
856,926
Legacy
Mortgage
Asset
Trust
1,357,806
3.250%, 
2/25/2060,
Ser.
2020-GS4,
Class
A1
a,d
1,373,132
LHOME
Mortgage
Trust
2,000,000
3.844%, 
3/25/2024,
Ser.
2019-RTL2,
Class
A1
a
2,013,572
3,000,000
2.090%, 
9/25/2026,
Ser.
2021-RTL1,
Class
A1
a,b
2,998,068
Long
Beach
Mortgage
Loan
Trust
303,860
0.979%, 
(LIBOR
1M
+
0.870%),
2/25/2035,
Ser.
2005-1,
Class
M3
b
303,998
Master
Asset
Securitization
Trust
763,362
0.609%, 
(LIBOR
1M
+
0.500%),
6/25/2036,
Ser.
2006-2,
Class
2A2
b
170,653
Mello
Warehouse
Securitization
Trust
4,500,000
1.009%, 
(LIBOR
1M
+
0.900%),
10/25/2053,
Ser.
2020-1,
Class
A
a,b
4,500,872
2,300,000
0.909%, 
(LIBOR
1M
+
0.800%),
11/25/2053,
Ser.
2020-2,
Class
A
a,b
2,302,046
4,000,000
1.009%, 
(LIBOR
1M
+
0.900%),
2/25/2055,
Ser.
2021-1,
Class
B
a,b
3,999,436
Merrill
Lynch
Mortgage
Investors
Trust
193,653
1.294%, 
(LIBOR
1M
+
1.185%),
7/25/2035,
Ser.
2004-WMC5,
Class
M3
b
193,753
Mortgage
Equity
Conversion
Asset
Trust
2,331,866
0.570%, 
(CMT
1Y
+
0.490%),
1/25/2042,
Ser.
2007-FF1,
Class
A
a,b
2,269,477
2,327,926
0.550%, 
(CMT
1Y
+
0.470%),
2/25/2042,
Ser.
2007-FF2,
Class
A
a,b
2,267,743
MRA
Issuance
Trust
2,500,000
1.853%, 
(LIBOR
1M
+
1.750%),
10/8/2021,
Ser.
2021-EBO1,
Class
A1X
a,b,f
2,500,000
6,000,000
1.259%, 
(LIBOR
1M
+
1.150%),
10/15/2021,
Ser.
2021-8,
Class
A1X
a,b,f
6,000,000
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
164
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Collateralized
Mortgage
Obligations
(14.4%)
-
continued
New
Residential
Mortgage,
LLC
$
2,050,171
3.790%, 
7/25/2054,
Ser.
2018-FNT2,
Class
A
a
$
2,050,743
New
York
Mortgage
Trust
2,546,380
2.944%, 
10/25/2060,
Ser.
2020-SP2,
Class
A1
a,b
2,556,187
Oak
Street
Investment
2,187,211
1.850%, 
11/20/2050,
Ser.
2020-1A,
Class
A1
a
2,196,058
Oaktown
Re
II,
Ltd.
206,553
1.659%, 
(LIBOR
1M
+
1.550%),
7/25/2028,
Ser.
2018-1A,
Class
M1
a,b
206,619
Palmer
Square
Loan
Funding,
Ltd.
5,000,000
1.435%, 
(LIBOR
3M
+
1.250%),
5/20/2029,
Ser.
2021-2A,
Class
A2
a,b,c
5,000,520
Preston
Ridge
Partners
Mortgage
Trust,
LLC
3,238,511
3.500%, 
10/25/2024,
Ser.
2019-GS1,
Class
A1
a,b
3,265,336
3,632,982
2.857%, 
9/25/2025,
Ser.
2020-3,
Class
A1
a,d
3,658,927
2,782,121
2.115%, 
1/25/2026,
Ser.
2021-1,
Class
A1
a,b
2,781,807
Pretium
Mortgage
Credit
Partners,
LLC
2,000,000
2.240%, 
9/27/2060,
Ser.
2021-NPL1,
Class
A1
a,d,f
2,000,000
Radnor
RE,
Ltd.
176,634
1.509%, 
(LIBOR
1M
+
1.400%),
3/25/2028,
Ser.
2018-1,
Class
M1
a,b
176,660
RCO
Mortgage,
LLC
3,773,648
3.475%, 
11/25/2024,
Ser.
2019-2,
Class
A1
a,d
3,794,912
Residential
Funding
Mortgage
Security
I
Trust
97,357
5.500%, 
10/25/2021,
Ser.
2006-S10,
Class
2A1
82,315
Silver
Hill
Trust
3,481,232
3.102%, 
11/25/2049,
Ser.
2019-SBC1,
Class
A1
a,b
3,602,369
Specialty
Underwriting
and
Residential
Finance
Trust
3,069,670
1.109%, 
(LIBOR
1M
+
1.000%),
7/25/2035,
Ser.
2004-BC3,
Class
A2C
b
3,050,392
3,027,529
1.089%, 
(LIBOR
1M
+
0.980%),
10/25/2035,
Ser.
2004-BC4,
Class
A2C
b
3,016,377
Stanwich
Mortgage
Loan
Trust
2,707,190
3.475%, 
11/16/2024,
Ser.
2019-NPB2,
Class
A1
a,d
2,722,589
Starwood
Mortgage
Residential
Trust
1,691,628
4.121%, 
10/25/2048,
Ser.
2018-IMC2,
Class
A1
a,b
1,727,834
1,881,688
2.718%, 
4/25/2060,
Ser.
2020-2,
Class
A1
a,b
1,913,856
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Collateralized
Mortgage
Obligations
(14.4%)
-
continued
Terwin
Mortgage
Trust
$
1,402,919
1.609%, 
(LIBOR
1M
+
1.500%),
12/25/2034,
Ser.
2004-21HE,
Class
2M2
a,b
$
1,409,529
Toorak
Mortgage
Corporation
2,092,302
4.336%, 
8/25/2021,
Ser.
2018-1,
Class
A1
a,d
2,097,535
5,250,000
4.458%, 
3/25/2022,
Ser.
2019-1,
Class
A1
a,d
5,307,023
1,500,000
3.721%, 
9/25/2022,
Ser.
2019-2,
Class
A1
1,521,312
2,500,000
2.734%, 
3/25/2023,
Ser.
2020-1,
Class
A1
a,d
2,505,770
TVC
Mortgage
Trust
2,800,000
3.474%, 
9/25/2024,
Ser.
2020-RTL1,
Class
A1
a
2,819,354
Vericrest
Opportunity
Loan
Transferee
3,378,969
1.893%, 
2/27/2051,
Ser.
2021-NPL1,
Class
A1
a,d
3,378,478
4,694,633
1.893%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A1
a,d
4,669,892
3,333,200
2.240%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A1
a,d
3,330,624
2,818,883
2.116%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A1
a,d
2,815,782
Verus
Securitization
Trust
2,326,808
2.913%, 
7/25/2059,
Ser.
2019-INV2,
Class
A1
a,b
2,370,892
1,215,734
1.977%, 
3/25/2060,
Ser.
2020-INV1,
Class
A1
a,b
1,233,776
Wachovia
Asset
Securitization,
Inc.
333,190
0.258%, 
(LIBOR
1M
+
0.140%),
7/25/2037,
Ser.
2007-HE1,
Class
A
a,b,e
311,351
Wachovia
Mortgage
Loan
Trust,
LLC
184,079
2.689%, 
5/20/2036,
Ser.
2006-A,
Class
2A1
b
189,505
WaMu
Mortgage
Pass
Through
Certificates
1,558,557
1.139%, 
(12
MTA
+
0.880%),
10/25/2046,
Ser.
2006-AR13,
Class
1A
b
1,462,086
Total
167,319,175
Commercial
Mortgage-Backed
Securities
(0.4%)
BFLD
Trust
3,000,000
1.256%, 
(LIBOR
1M
+
1.150%),
10/15/2035,
Ser.
2020-EYP,
Class
A
a,b
3,026,421
Federal
National
Mortgage
Association
-
ACES
430,874
3.560%, 
9/25/2021,
Ser.
2018-M5,
Class
A2
b
433,157
GSAA
Home
Equity
Trust
891,242
2.059%, 
(LIBOR
1M
+
1.950%),
5/25/2034,
Ser.
2004-4,
Class
M2
b
969,463
Total
4,429,041
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
165
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Communications
Services
(2.9%)
American
Tower
Corporation
$
1,500,000
3.375%, 
5/15/2024
$
1,608,175
1,000,000
4.400%, 
2/15/2026
1,126,595
AT&T,
Inc.
2,000,000
1.084%, 
(LIBOR
3M
+
0.890%),
2/15/2023
b
2,018,459
1,200,000
4.125%, 
2/17/2026
1,344,107
Bell
Canada
2,250,000
0.750%, 
3/17/2024
2,247,024
British
Sky
Broadcasting
Group
plc
1,503,000
3.750%, 
9/16/2024
a
1,650,735
Charter
Communications
Operating,
LLC
1,875,000
4.500%, 
2/1/2024
2,050,763
1,000,000
4.908%, 
7/23/2025
1,133,647
Cox
Communications,
Inc.
1,500,000
3.150%, 
8/15/2024
a
1,601,611
Crown
Castle
International
Corporation
1,000,000
3.200%, 
9/1/2024
1,073,867
Discovery
Communications,
LLC
1,050,000
2.950%, 
3/20/2023
1,097,008
Fox
Corporation
1,000,000
3.666%, 
1/25/2022
1,026,278
940,000
3.050%, 
4/7/2025
999,800
Netflix,
Inc.
1,800,000
5.875%, 
2/15/2025
2,063,250
NTT
Finance
Corporation
775,000
0.583%, 
3/1/2024
a
772,111
Omnicom
Group,
Inc.
1,242,000
3.625%, 
5/1/2022
1,284,769
Sprint
Corporation
2,450,000
7.125%, 
6/15/2024
2,820,563
T-Mobile
USA,
Inc.
1,900,000
3.500%, 
4/15/2025
a
2,049,872
Verizon
Communications,
Inc.
630,000
0.750%, 
3/22/2024
630,692
2,600,000
0.850%, 
11/20/2025
2,544,423
ViacomCBS,
Inc.
1,250,000
3.700%, 
8/15/2024
1,355,305
Walt
Disney
Company
1,165,000
1.750%, 
1/13/2026
1,191,583
Total
33,690,637
Consumer
Cyclical
(5.1%)
7-Eleven,
Inc.
1,950,000
0.950%, 
2/10/2026
a
1,899,495
Alibaba
Group
Holding,
Ltd.
500,000
2.800%, 
6/6/2023
521,526
American
Honda
Finance
Corporation
950,000
1.950%, 
5/10/2023
977,751
910,000
0.650%, 
9/8/2023
911,795
1,000,000
0.550%, 
7/12/2024
992,772
930,000
1.200%, 
7/8/2025
926,045
BMW
U.S.
Capital,
LLC
2,000,000
3.150%, 
4/18/2024
a
2,136,072
D.R.
Horton,
Inc.
800,000
2.600%, 
10/15/2025
841,436
Daimler
Finance
North
America,
LLC
875,000
1.750%, 
3/10/2023
a
894,460
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Consumer
Cyclical
(5.1%)
-
continued
$
1,000,000
1.032%, 
(LIBOR
3M
+
0.840%),
5/4/2023
a,b
$
1,010,979
1,000,000
0.750%, 
3/1/2024
a
994,920
Ford
Motor
Credit
Company,
LLC
1,000,000
1.429%, 
(LIBOR
3M
+
1.235%),
2/15/2023
b
990,057
1,840,000
3.370%, 
11/17/2023
1,886,000
1,250,000
3.810%, 
1/9/2024
1,289,063
1,100,000
3.375%, 
11/13/2025
1,118,700
General
Motors
Company
1,000,000
6.125%, 
10/1/2025
1,175,908
General
Motors
Financial
Company,
Inc.
1,900,000
3.950%, 
4/13/2024
2,044,853
1,420,000
2.900%, 
2/26/2025
1,488,853
925,000
2.750%, 
6/20/2025
965,610
Harley-Davidson
Financial
Services,
Inc.
511,000
4.050%, 
2/4/2022
a
525,451
Hyundai
Capital
America
900,000
0.800%, 
1/8/2024
a
892,199
1,140,000
1.800%, 
10/15/2025
a
1,138,842
Hyundai
Capital
Services,
Inc.
1,000,000
3.000%, 
3/6/2022
a
1,020,170
1,500,000
3.000%, 
8/29/2022
a
1,545,094
750,000
1.250%, 
2/8/2026
a
731,420
Kohl's
Corporation
2,286,000
9.500%, 
5/15/2025
2,964,079
Lennar
Corporation
990,000
4.875%, 
12/15/2023
1,081,407
550,000
5.875%, 
11/15/2024
624,250
1,100,000
4.750%, 
5/30/2025
1,225,125
Lowe's
Companies,
Inc.
700,000
4.000%, 
4/15/2025
774,449
Marriott
International,
Inc.
1,150,000
3.600%, 
4/15/2024
1,223,652
686,000
3.750%, 
10/1/2025
732,756
Nissan
Motor
Company,
Ltd.
2,075,000
3.043%, 
9/15/2023
a
2,170,889
Owl
Rock
Capital
Corporation
1,000,000
3.400%, 
7/15/2026
1,012,879
PulteGroup,
Inc.
1,750,000
5.500%, 
3/1/2026
2,041,856
Ralph
Lauren
Corporation
700,000
1.700%, 
6/15/2022
711,103
Starbucks
Corporation
900,000
1.300%, 
5/7/2022
909,225
Target
Corporation
940,000
2.250%, 
4/15/2025
984,851
TJX
Companies,
Inc.
1,175,000
3.500%, 
4/15/2025
1,280,901
Toll
Brothers
Finance
Corporation
1,250,000
5.875%, 
2/15/2022
1,281,250
1,700,000
4.375%, 
4/15/2023
1,776,500
Toyota
Motor
Credit
Corporation
1,375,000
0.500%, 
8/14/2023
1,375,616
1,000,000
0.450%, 
1/11/2024
997,260
925,000
1.800%, 
2/13/2025
950,360
875,000
0.800%, 
10/16/2025
859,758
VF
Corporation
900,000
2.050%, 
4/23/2022
914,746
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
166
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Consumer
Cyclical
(5.1%)
-
continued
Volkswagen
Group
of
America
Finance,
LLC
$
1,000,000
0.750%, 
11/23/2022
a
$
1,002,852
2,000,000
4.250%, 
11/13/2023
a
2,173,579
1,500,000
2.850%, 
9/26/2024
a
1,591,852
Total
59,580,666
Consumer
Non-Cyclical
(5.3%)
Abbott
Laboratories
1,263,000
2.550%, 
3/15/2022
1,290,994
AbbVie,
Inc.
1,900,000
2.300%, 
11/21/2022
1,955,093
2,000,000
3.850%, 
6/15/2024
2,177,267
1,920,000
3.600%, 
5/14/2025
2,091,698
Amgen,
Inc.
1,320,000
1.900%, 
2/21/2025
1,363,266
Anheuser-Busch
InBev
Worldwide,
Inc.
1,250,000
4.150%, 
1/23/2025
1,389,131
Anthem,
Inc.
1,025,000
2.375%, 
1/15/2025
1,071,251
AstraZeneca
plc
1,550,000
0.700%, 
4/8/2026
1,492,851
BAT
International
Finance
plc
2,500,000
1.668%, 
3/25/2026
2,474,445
Boston
Scientific
Corporation
1,840,000
3.450%, 
3/1/2024
1,975,241
Bristol-Myers
Squibb
Company
1,300,000
0.537%, 
11/13/2023
1,299,856
Bunge,
Ltd.
Finance
Corporation
1,100,000
1.630%, 
8/17/2025
1,100,479
Cargill,
Inc.
1,000,000
3.250%, 
3/1/2023
a
1,054,672
800,000
1.375%, 
7/23/2023
a
816,437
Centene
Corporation
1,825,000
5.375%, 
8/15/2026
a
1,925,192
CK
Hutchison
International,
Ltd.
2,000,000
2.750%, 
3/29/2023
a
2,080,720
Coca-Cola
Company
900,000
2.950%, 
3/25/2025
971,060
Conagra
Brands,
Inc.
1,750,000
4.300%, 
5/1/2024
1,929,735
Constellation
Brands,
Inc.
1,000,000
2.700%, 
5/9/2022
1,021,729
500,000
3.200%, 
2/15/2023
523,192
CVS
Health
Corporation
755,000
3.700%, 
3/9/2023
801,257
241,000
4.100%, 
3/25/2025
266,971
Diageo
Capital
plc
600,000
1.375%, 
9/29/2025
605,571
General
Mills,
Inc.
1,500,000
1.233%, 
(LIBOR
3M
+
1.010%),
10/17/2023
b
1,521,727
Gilead
Sciences,
Inc.
1,375,000
0.750%, 
9/29/2023
1,376,597
HCA,
Inc.
2,000,000
5.875%, 
5/1/2023
2,177,650
Imperial
Brands
Finance
plc
1,750,000
3.125%, 
7/26/2024
a
1,849,398
Imperial
Tobacco
Finance
plc
1,500,000
3.750%, 
7/21/2022
a
1,549,437
Keurig
Dr
Pepper,
Inc.
2,000,000
0.750%, 
3/15/2024
2,000,640
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Consumer
Non-Cyclical
(5.3%)
-
continued
McKesson
Corporation
$
1,500,000
0.900%, 
12/3/2025
$
1,468,820
Mylan
NV
975,000
3.150%, 
6/15/2021
978,078
Nestle
Holdings,
Inc.
1,145,000
0.375%, 
1/15/2024
a
1,140,201
Novartis
Capital
Corporation
2,100,000
1.750%, 
2/14/2025
2,162,183
PepsiCo,
Inc.
1,400,000
2.250%, 
3/19/2025
1,474,290
Philip
Morris
International,
Inc.
900,000
1.125%, 
5/1/2023
913,146
1,350,000
0.875%, 
5/1/2026
1,310,919
Royalty
Pharma
plc
2,675,000
1.200%, 
9/2/2025
a
2,619,670
Smithfield
Foods,
Inc.
2,000,000
2.650%, 
10/3/2021
a
2,015,020
Thermo
Fisher
Scientific,
Inc.
700,000
4.133%, 
3/25/2025
777,313
Unilever
Capital
Corporation
915,000
0.375%, 
9/14/2023
917,784
UnitedHealth
Group,
Inc.
1,000,000
3.500%, 
2/15/2024
1,082,839
Upjohn,
Inc.
700,000
1.650%, 
6/22/2025
a
702,473
Zoetis,
Inc.
1,450,000
3.250%, 
2/1/2023
1,511,093
Total
61,227,386
Energy
(4.3%)
BP
Capital
Markets
America,
Inc.
1,500,000
0.840%, 
(LIBOR
3M
+
0.650%),
9/19/2022
b
1,507,729
1,000,000
3.790%, 
2/6/2024
1,084,802
Canadian
Natural
Resources,
Ltd.
1,400,000
2.050%, 
7/15/2025
1,415,667
Cenovus
Energy,
Inc.
2,000,000
5.375%, 
7/15/2025
2,247,629
Cheniere
Corpus
Christi
Holdings,
LLC
1,766,000
5.875%, 
3/31/2025
2,012,463
Chevron
Corporation
1,275,000
1.141%, 
5/11/2023
1,297,132
Chevron
USA,
Inc.
1,015,000
3.900%, 
11/15/2024
1,117,595
Cimarex
Energy
Company
2,500,000
4.375%, 
6/1/2024
2,718,923
Continental
Resources,
Inc.
1,900,000
4.500%, 
4/15/2023
1,967,830
Devon
Energy
Corporation
1,150,000
5.850%, 
12/15/2025
1,340,929
Diamondback
Energy,
Inc.
1,100,000
0.900%, 
3/24/2023
1,100,705
950,000
2.875%, 
12/1/2024
1,001,813
Encana
Corporation
1,000,000
3.900%, 
11/15/2021
1,010,922
Energy
Transfer
Operating,
LP
1,660,000
4.200%, 
9/15/2023
1,777,657
950,000
2.900%, 
5/15/2025
988,587
EOG
Resources,
Inc.
1,025,000
2.625%, 
3/15/2023
1,064,037
Equinor
ASA
925,000
2.875%, 
4/6/2025
987,689
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
167
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Energy
(4.3%)
-
continued
Exxon
Mobil
Corporation
$
1,100,000
2.992%, 
3/19/2025
$
1,178,742
Hess
Corporation
1,824,000
3.500%, 
7/15/2024
1,924,360
Marathon
Oil
Corporation
340,000
2.800%, 
11/1/2022
348,742
Marathon
Petroleum
Corporation
1,000,000
4.700%, 
5/1/2025
1,123,913
MPLX,
LP
500,000
3.500%, 
12/1/2022
521,735
1,500,000
4.875%, 
6/1/2025
1,689,520
1,100,000
1.750%, 
3/1/2026
1,101,680
National
Fuel
Gas
Company
750,000
5.200%, 
7/15/2025
841,678
1,370,000
5.500%, 
1/15/2026
1,565,693
Newfield
Exploration
Company
1,000,000
5.750%, 
1/30/2022
1,032,771
550,000
5.625%, 
7/1/2024
604,629
ONEOK,
Inc.
1,000,000
2.750%, 
9/1/2024
1,049,074
Petroleos
Mexicanos
983,250
2.378%, 
4/15/2025
1,017,604
Pioneer
Natural
Resources
Company
1,700,000
1.125%, 
1/15/2026
1,669,011
Plains
All
American
Pipeline,
LP
2,000,000
3.850%, 
10/15/2023
2,115,783
750,000
4.650%, 
10/15/2025
821,789
Schlumberger
Finance
Canada,
Ltd.
225,000
1.400%, 
9/17/2025
225,191
Schlumberger
Holdings
Corporation
1,500,000
3.750%, 
5/1/2024
a
1,617,272
Suncor
Energy,
Inc.
930,000
2.800%, 
5/15/2023
971,464
Transcontinental
Gas
Pipe
Line
Company,
LLC
600,000
7.850%, 
2/1/2026
759,368
Western
Midstream
Operating,
LP
750,000
4.350%, 
2/1/2025
776,250
Williams
Partners,
LP
1,325,000
3.600%, 
3/15/2022
1,356,964
WPX
Energy,
Inc.
1,100,000
5.250%, 
9/15/2024
1,219,625
Total
50,174,967
Financials
(20.2%)
AerCap
Ireland
Capital
DAC
1,000,000
3.300%, 
1/23/2023
1,036,830
1,375,000
3.150%, 
2/15/2024
1,432,673
1,300,000
6.500%, 
7/15/2025
1,515,512
1,200,000
1.750%, 
1/30/2026
1,165,517
Aircastle,
Ltd.
800,000
5.250%, 
8/11/2025
a
873,469
Allstate
Corporation
1,300,000
0.750%, 
12/15/2025
1,277,459
Ally
Financial,
Inc.
2,750,000
5.750%, 
11/20/2025
3,124,213
American
International
Group,
Inc.
1,050,000
2.500%, 
6/30/2025
1,101,681
Ares
Capital
Corporation
924,000
4.250%, 
3/1/2025
991,295
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Financials
(20.2%)
-
continued
$
1,350,000
3.875%, 
1/15/2026
$
1,422,753
800,000
2.150%, 
7/15/2026
779,059
Athene
Global
Funding
2,000,000
1.468%, 
(LIBOR
3M
+
1.230%),
7/1/2022
a,b
2,021,293
1,100,000
1.200%, 
10/13/2023
a
1,110,185
Australia
and
New
Zealand
Banking
Group,
Ltd.
1,890,000
2.950%, 
7/22/2030
a,b
1,953,334
Aviation
Capital
Group,
LLC
1,200,000
5.500%, 
12/15/2024
a
1,341,768
Avolon
Holdings
Funding,
Ltd.
1,644,000
5.500%, 
1/15/2026
a
1,818,917
1,000,000
2.125%, 
2/21/2026
a
956,513
450,000
4.250%, 
4/15/2026
a
471,337
Banco
Bilbao
Vizcaya
Argentaria
SA
1,400,000
0.875%, 
9/18/2023
1,403,733
Banco
Santander
Mexico
SA
320,000
5.375%, 
4/17/2025
a
359,296
Banco
Santander
SA
800,000
1.344%, 
(LIBOR
3M
+
1.120%),
4/12/2023
b
811,250
1,000,000
1.849%, 
3/25/2026
998,084
Bank
of
America
Corporation
500,000
2.816%, 
7/21/2023
b
514,724
1,775,000
4.200%, 
8/26/2024
1,957,746
1,800,000
0.810%, 
10/24/2024
b
1,804,461
1,000,000
3.458%, 
3/15/2025
b
1,073,770
1,125,000
0.981%, 
9/25/2025
b
1,122,075
1,900,000
2.456%, 
10/22/2025
b
1,991,561
1,275,000
1.319%, 
6/19/2026
b
1,271,111
Bank
of
Montreal
1,500,000
3.300%, 
2/5/2024
1,608,946
Bank
of
New
York
Mellon
Corporation
1,885,000
1.850%, 
1/27/2023
1,939,364
900,000
1.600%, 
4/24/2025
917,201
700,000
4.700%, 
9/20/2025
b,g
758,415
Bank
of
New
Zealand
875,000
2.000%, 
2/21/2025
a
898,172
Bank
of
Nova
Scotia
1,175,000
1.950%, 
2/1/2023
1,207,903
1,050,000
1.625%, 
5/1/2023
1,076,503
935,000
4.900%, 
6/4/2025
b,g
994,027
Barclays
plc
1,000,000
3.684%, 
1/10/2023
1,022,835
2,000,000
1.574%, 
(LIBOR
3M
+
1.380%),
5/16/2024
b
2,028,574
1,500,000
4.375%, 
9/11/2024
1,639,467
1,600,000
1.007%, 
12/10/2024
b
1,598,683
BNP
Paribas
SA
960,000
2.819%, 
11/19/2025
a,b
1,010,550
1,300,000
1.323%, 
1/13/2027
a,b
1,271,389
BPCE
SA
1,000,000
1.402%, 
(LIBOR
3M
+
1.220%),
5/22/2022
a,b
1,010,400
950,000
2.375%, 
1/14/2025
a
981,472
Branch
Banking
and
Trust
Company
1,800,000
2.150%, 
12/6/2024
1,884,273
Canadian
Imperial
Bank
of
Commerce
1,875,000
2.250%, 
1/28/2025
1,944,410
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
168
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Financials
(20.2%)
-
continued
Capital
One
Bank
USA
NA
$
1,875,000
2.014%, 
1/27/2023
b
$
1,897,274
Capital
One
Financial
Corporation
1,500,000
3.900%, 
1/29/2024
1,621,768
Charles
Schwab
Corporation
400,000
5.375%, 
6/1/2025
b,g
441,868
1,250,000
4.000%, 
6/1/2026
b,g
1,268,500
CIT
Group,
Inc.
2,650,000
5.250%, 
3/7/2025
2,984,562
Citigroup,
Inc.
1,500,000
1.178%, 
(LIBOR
3M
+
0.960%),
4/25/2022
b
1,512,221
1,890,000
2.312%, 
11/4/2022
b
1,910,113
1,800,000
4.000%, 
8/5/2024
1,965,676
2,500,000
0.776%, 
10/30/2024
b
2,498,301
925,000
3.106%, 
4/8/2026
b
987,403
1,150,000
1.122%, 
1/28/2027
b
1,124,896
Comerica,
Inc.
750,000
3.700%, 
7/31/2023
801,940
585,000
5.625%, 
7/1/2025
b,g
644,231
Compass
Bank
1,500,000
2.875%, 
6/29/2022
1,542,503
Cooperatieve
Rabobank
UA
1,625,000
1.339%, 
6/24/2026
a,b
1,611,380
Corporate
Office
Properties,
LP
450,000
2.250%, 
3/15/2026
457,277
Credit
Agricole
SA
935,000
1.907%, 
6/16/2026
a,b
947,965
750,000
1.247%, 
1/26/2027
a,b
733,537
Credit
Suisse
AG
675,000
2.800%, 
4/8/2022
689,184
Credit
Suisse
Group
AG
1,500,000
6.500%, 
8/8/2023
a
1,649,625
990,000
7.500%, 
12/11/2023
a,b,g
1,071,505
1,050,000
2.193%, 
6/5/2026
a,b
1,067,073
1,600,000
1.305%, 
2/2/2027
a,b
1,549,181
Danske
Bank
AS
915,000
1.171%, 
12/8/2023
a,b
920,003
1,500,000
5.375%, 
1/12/2024
a
1,672,635
Deutsche
Bank
AG
1,200,000
3.700%, 
5/30/2024
1,283,174
910,000
2.222%, 
9/18/2024
b
934,086
1,600,000
4.500%, 
4/1/2025
1,709,902
1,100,000
2.129%, 
11/24/2026
b
1,102,768
Discover
Bank
1,250,000
2.450%, 
9/12/2024
1,308,426
Equitable
Financial
Life
Global
Funding
1,200,000
0.500%, 
11/17/2023
a
1,198,294
Fifth
Third
Bancorp
1,900,000
2.375%, 
1/28/2025
1,980,983
First
Horizon
National
Corporation
1,325,000
3.550%, 
5/26/2023
1,400,637
First
Republic
Bank
940,000
1.912%, 
2/12/2024
b
962,032
FNB
Corporation
1,315,000
2.200%, 
2/24/2023
1,340,661
GA
Global
Funding
Trust
1,200,000
1.625%, 
1/15/2026
a
1,198,335
GE
Capital
Funding,
LLC
875,000
3.450%, 
5/15/2025
a
946,033
Goldman
Sachs
Group,
Inc.
2,100,000
0.481%, 
1/27/2023
2,097,121
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Financials
(20.2%)
-
continued
$
1,700,000
0.627%, 
11/17/2023
b
$
1,700,306
1,500,000
0.673%, 
3/8/2024
b
1,498,823
940,000
3.500%, 
4/1/2025
1,018,408
1,915,000
3.272%, 
9/29/2025
b
2,054,929
272,000
4.250%, 
10/21/2025
303,607
1,700,000
0.855%, 
2/12/2026
b
1,670,934
HSBC
Holdings
plc
2,000,000
3.262%, 
3/13/2023
b
2,050,237
1,500,000
6.250%, 
3/23/2023
b,g
1,585,800
1,325,000
1.645%, 
4/18/2026
b
1,325,813
1,000,000
1.589%, 
5/24/2027
b
984,120
ING
Groep
NV
1,600,000
1.343%, 
(LIBOR
3M
+
1.150%),
3/29/2022
b
1,615,536
500,000
4.625%, 
1/6/2026
a
566,751
1,250,000
1.726%, 
4/1/2027
b,c
1,250,722
Intercontinental
Exchange,
Inc.
1,150,000
0.700%, 
6/15/2023
1,153,082
J.P.
Morgan
Chase
&
Company
925,000
1.514%, 
6/1/2024
b
944,196
1,750,000
3.875%, 
9/10/2024
1,918,530
1,500,000
1.075%, 
(LIBOR
3M
+
0.850%),
1/10/2025
b
1,520,620
700,000
0.563%, 
2/16/2025
b
694,796
800,000
2.005%, 
3/13/2026
b
822,680
900,000
2.083%, 
4/22/2026
b
924,358
2,500,000
1.045%, 
11/19/2026
b
2,441,766
725,000
1.040%, 
2/4/2027
b
707,118
1,250,000
4.005%, 
(LIBOR
3M
+
3.800%),
12/29/2049
b,g
1,252,375
KeyBank
NA
1,250,000
0.423%, 
1/3/2024
b
1,248,917
Kilroy
Realty,
LP
750,000
3.800%, 
1/15/2023
782,597
450,000
4.375%, 
10/1/2025
494,726
Lincoln
National
Corporation
1,000,000
4.000%, 
9/1/2023
1,080,805
Lloyds
Banking
Group
plc
1,500,000
2.858%, 
3/17/2023
b
1,531,548
2,000,000
2.907%, 
11/7/2023
b
2,072,198
925,000
7.500%, 
6/27/2024
b,g
1,031,375
350,000
4.582%, 
12/10/2025
390,787
Macquarie
Group,
Ltd.
1,500,000
1.210%, 
(LIBOR
3M
+
1.020%),
11/28/2023
a,b
1,511,129
Mitsubishi
UFJ
Financial
Group,
Inc.
1,400,000
1.102%, 
(LIBOR
3M
+
0.920%),
2/22/2022
b
1,410,301
875,000
2.193%, 
2/25/2025
902,562
Mizuho
Financial
Group
Cayman
3,
Ltd.
825,000
4.600%, 
3/27/2024
a
902,252
Mizuho
Financial
Group,
Inc.
1,500,000
2.555%, 
9/13/2025
b
1,568,913
Morgan
Stanley
1,000,000
3.851%, 
(LIBOR
3M
+
3.610%),
7/15/2021
b,g
1,001,495
1,800,000
4.100%, 
5/22/2023
1,924,794
600,000
0.560%, 
11/10/2023
b
600,193
2,000,000
0.529%, 
1/25/2024
b
1,996,355
750,000
2.720%, 
7/22/2025
b
791,189
1,300,000
0.864%, 
10/21/2025
b
1,292,987
1,750,000
5.000%, 
11/24/2025
2,011,244
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
169
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Financials
(20.2%)
-
continued
$
1,000,000
0.985%, 
12/10/2026
b
$
976,093
National
Bank
of
Canada
950,000
2.100%, 
2/1/2023
976,596
National
Securities
Clearing
Corporation
1,350,000
1.200%, 
4/23/2023
a
1,370,833
Nationwide
Building
Society
2,000,000
3.766%, 
3/8/2024
a,b
2,112,638
New
York
Life
Global
Funding
950,000
2.000%, 
1/22/2025
a
978,278
Nomura
Holdings,
Inc.
1,890,000
2.648%, 
1/16/2025
1,954,894
Omega
Healthcare
Investors,
Inc.
380,000
4.950%, 
4/1/2024
414,075
800,000
4.500%, 
1/15/2025
864,659
Owl
Rock
Technology
Finance
Corporation
750,000
3.750%, 
6/17/2026
a
766,990
PayPal
Holdings,
Inc.
1,000,000
2.200%, 
9/26/2022
1,026,204
1,000,000
2.400%, 
10/1/2024
1,050,790
Peachtree
Corners
Funding
Trust
1,375,000
3.976%, 
2/15/2025
a
1,504,050
Principal
Life
Global
Funding
II
900,000
0.875%, 
1/12/2026
a
874,060
Protective
Life
Global
Funding
1,350,000
0.631%, 
10/13/2023
a
1,353,394
Regions
Financial
Corporation
925,000
2.250%, 
5/18/2025
959,827
Reinsurance
Group
of
America,
Inc.
2,000,000
4.700%, 
9/15/2023
2,190,782
Royal
Bank
of
Canada
1,900,000
1.950%, 
1/17/2023
1,951,737
900,000
1.600%, 
4/17/2023
921,700
Royal
Bank
of
Scotland
Group
plc
2,000,000
1.664%, 
(LIBOR
3M
+
1.470%),
5/15/2023
b
2,023,140
1,000,000
3.498%, 
5/15/2023
b
1,030,788
Santander
Holdings
USA,
Inc.
1,000,000
3.400%, 
1/18/2023
1,044,056
350,000
3.450%, 
6/2/2025
375,078
Santander
UK
Group
Holdings
plc
925,000
1.532%, 
8/21/2026
b
917,286
Santander
UK
plc
749,000
2.100%, 
1/13/2023
769,928
Siemens
Financieringsmaatschappij
NV
1,250,000
0.650%, 
3/11/2024
a
1,249,498
Simon
Property
Group,
LP
1,250,000
3.300%, 
1/15/2026
1,338,443
Skandinaviska
Enskilda
Banken
AB
1,155,000
0.550%, 
9/1/2023
a
1,154,630
Societe
Generale
SA
1,800,000
2.625%, 
10/16/2024
a
1,878,085
1,400,000
1.488%, 
12/14/2026
a,b
1,375,667
Stadshypotek
AB
2,000,000
2.500%, 
4/5/2022
a
2,043,944
Standard
Chartered
plc
1,175,000
3.950%, 
1/11/2023
a
1,229,628
1,000,000
1.319%, 
10/14/2023
a,b
1,006,350
900,000
0.991%, 
1/12/2025
a,b
894,913
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Financials
(20.2%)
-
continued
$
500,000
1.214%, 
3/23/2025
a,b
$
500,993
State
Street
Corporation
250,000
2.825%, 
3/30/2023
b
256,133
1,415,000
2.354%, 
11/1/2025
b
1,488,326
Sumitomo
Mitsui
Financial
Group,
Inc.
1,700,000
2.448%, 
9/27/2024
1,781,012
750,000
0.948%, 
1/12/2026
730,798
Sumitomo
Mitsui
Trust
Bank,
Ltd.
1,150,000
0.800%, 
9/12/2023
a
1,153,202
1,000,000
0.850%, 
3/25/2024
a
998,754
Synchrony
Financial
250,000
2.850%, 
7/25/2022
256,725
1,485,000
4.250%, 
8/15/2024
1,615,394
Synovus
Bank
940,000
2.289%, 
2/10/2023
b
947,975
Toronto-Dominion
Bank
1,375,000
0.750%, 
9/11/2025
1,347,013
Truist
Financial
Corporation
675,000
4.950%, 
9/1/2025
b,g
731,531
U.S.
Bank
NA
1,800,000
2.050%, 
1/21/2025
1,866,801
UBS
AG
450,000
1.750%, 
4/21/2022
a
456,225
1,650,000
5.125%, 
5/15/2024
1,815,000
UBS
Group
AG
1,375,000
1.008%, 
7/30/2024
a,b
1,382,994
USB
Realty
Corporation
95,000
1.388%, 
(LIBOR
3M
+
1.147%),
1/15/2022
a,b,g
73,625
VEREIT
Operating
Partnership,
LP
200,000
4.600%, 
2/6/2024
218,813
440,000
4.625%, 
11/1/2025
496,653
Voya
Financial,
Inc.
500,000
5.650%, 
5/15/2053
b
534,811
Wells
Fargo
&
Company
750,000
3.450%, 
2/13/2023
790,049
1,500,000
3.750%, 
1/24/2024
1,622,048
1,525,000
1.654%, 
6/2/2024
b
1,557,855
1,890,000
2.406%, 
10/30/2025
b
1,974,166
Westpac
Banking
Corporation
945,000
2.000%, 
1/13/2023
972,737
500,000
2.000%, 
1/16/2025
a
520,160
940,000
2.894%, 
2/4/2030
b
968,209
Total
234,716,186
Foreign
Government
(0.2%)
Sinopec
Group
Overseas
Development
2018,
Ltd.
2,050,000
2.150%, 
5/13/2025
a
2,081,365
Total
2,081,365
Mortgage-Backed
Securities
(10.7%)
CIM
Trust
2,500,000
2.568%, 
7/25/2059,
Ser.
2021-NR2,
Class
A1
a,d,f
2,500,000
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
1,353,956
3.000%, 
3/25/2050
1,413,092
Federal
National
Mortgage
Association
401,111
3.500%, 
10/1/2048
423,665
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
170
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Mortgage-Backed
Securities
(10.7%)
-
continued
$
461,070
3.500%, 
8/1/2049
$
487,936
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
10,200,000
1.500%, 
4/1/2036
c
10,246,050
52,025,000
2.000%, 
4/1/2036
c
53,391,827
14,500,000
2.500%, 
4/1/2036
c
15,086,231
25,975,000
2.000%, 
5/1/2036
c
26,624,692
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
7,000,000
2.500%, 
4/1/2051
c
7,183,203
5,900,000
2.500%, 
5/1/2051
c
6,041,738
205,279
1.940%, 
(LIBOR
12M
+
1.485%),
1/1/2043
b
213,622
920,673
4.000%, 
7/1/2048
988,178
Total
124,600,234
Technology
(2.8%)
Apple,
Inc.
1,850,000
0.700%, 
2/8/2026
1,814,488
Baidu,
Inc.
880,000
3.075%, 
4/7/2025
h
926,170
Broadcom
Corporation
2,000,000
3.125%, 
1/15/2025
2,128,025
Broadcom,
Inc.
1,750,000
4.250%, 
4/15/2026
1,942,376
Dell
International,
LLC
1,500,000
4.000%, 
7/15/2024
a
1,627,825
1,750,000
5.850%, 
7/15/2025
a
2,040,138
Fidelity
National
Information
Services,
Inc.
1,200,000
0.600%, 
3/1/2024
1,193,051
Fiserv,
Inc.
2,000,000
2.750%, 
7/1/2024
2,113,433
Global
Payments,
Inc.
875,000
2.650%, 
2/15/2025
919,344
Hewlett
Packard
Enterprise
Company
1,750,000
3.500%, 
10/5/2021
1,773,049
950,000
4.450%, 
10/2/2023
1,032,245
Intel
Corporation
900,000
3.400%, 
3/25/2025
979,403
Intuit,
Inc.
1,625,000
0.950%, 
7/15/2025
1,612,382
Marvell
Technology
Group,
Ltd.
1,000,000
4.200%, 
6/22/2023
1,069,986
Micron
Technology,
Inc.
1,050,000
2.497%, 
4/24/2023
1,089,784
NXP
Funding,
LLC
1,342,000
2.700%, 
5/1/2025
a
1,407,442
Oracle
Corporation
1,055,000
2.500%, 
4/1/2025
1,108,507
Panasonic
Corporation
1,000,000
2.536%, 
7/19/2022
a
1,023,413
1,000,000
2.679%, 
7/19/2024
a
1,055,220
Seagate
HDD
Cayman
1,232,000
4.750%, 
1/1/2025
1,336,289
SK
Hynix,
Inc.
500,000
1.000%, 
1/19/2024
a
499,200
Tencent
Holdings,
Ltd.
875,000
1.810%, 
1/26/2026
a
877,708
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Technology
(2.8%)
-
continued
Texas
Instruments,
Inc.
$
500,000
1.375%, 
3/12/2025
$
508,725
Total
System
Services,
Inc.
925,000
3.750%, 
6/1/2023
981,474
VMware,
Inc.
1,000,000
2.950%, 
8/21/2022
1,031,246
Total
32,090,923
Transportation
(2.2%)
Air
Canada
Pass
Through
Trust
872,722
3.875%, 
3/15/2023
a
871,371
Air
Lease
Corporation
1,750,000
3.500%, 
1/15/2022
1,789,528
1,500,000
4.250%, 
2/1/2024
1,627,700
Aircastle,
Ltd.
1,500,000
4.400%, 
9/25/2023
1,597,526
Avolon
Holdings
Funding,
Ltd.
1,500,000
3.950%, 
7/1/2024
a
1,568,102
Boeing
Company
1,575,000
1.950%, 
2/1/2024
1,613,713
British
Airways
plc
891,645
4.625%, 
6/20/2024
a
924,992
Continental
Airlines,
Inc.
2,050,294
4.150%, 
4/11/2024
2,141,608
Delta
Air
Lines,
Inc.
2,150,000
4.500%, 
10/20/2025
a
2,294,906
ERAC
USA
Finance,
LLC
1,600,000
2.600%, 
12/1/2021
a
1,620,198
J.B.
Hunt
Transport
Services,
Inc.
1,175,000
3.300%, 
8/15/2022
1,212,681
Penske
Truck
Leasing
Company,
LP
750,000
3.650%, 
7/29/2021
a
755,699
1,000,000
2.700%, 
11/1/2024
a
1,052,795
1,000,000
3.950%, 
3/10/2025
a
1,091,683
800,000
1.200%, 
11/15/2025
a
785,822
Ryder
System,
Inc.
1,000,000
3.400%, 
3/1/2023
1,049,507
Southwest
Airlines
Company
1,975,000
4.750%, 
5/4/2023
2,132,398
TTX
Company
800,000
4.125%, 
10/1/2023
a
867,769
Total
24,997,998
U.S.
Government
&
Agencies
(6.0%)
U.S.
Treasury
Notes
1,585,000
2.000%, 
11/30/2022
1,633,850
14,500,000
0.125%, 
1/31/2023
14,493,203
7,350,000
2.750%, 
7/31/2023
7,782,961
20,000,000
0.125%, 
10/15/2023
19,934,375
14,850,000
0.125%, 
1/15/2024
14,775,750
9,970,000
2.500%, 
1/31/2024
10,583,000
Total
69,203,139
Utilities
(3.5%)
Alexander
Funding
Trust
1,750,000
1.841%, 
11/15/2023
a
1,773,271
Ameren
Corporation
750,000
2.500%, 
9/15/2024
788,499
American
Electric
Power
Company,
Inc.
1,075,000
1.000%, 
11/1/2025
1,053,403
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
171
Principal
Amount
Long-Term
Fixed
Income
(97.9%)
Value
Utilities
(3.5%)
-
continued
Berkshire
Hathaway
Energy
Company
$
1,575,000
4.050%, 
4/15/2025
$
1,737,841
CenterPoint
Energy
Resources
Corporation
1,000,000
0.700%, 
3/2/2023
999,686
CenterPoint
Energy,
Inc.
1,175,000
3.850%, 
2/1/2024
1,272,811
Dominion
Energy,
Inc.
1,650,000
1.450%, 
4/15/2026
c
1,643,396
DTE
Energy
Company
1,500,000
3.700%, 
8/1/2023
1,597,970
1,500,000
2.529%, 
10/1/2024
1,571,806
Duke
Energy
Corporation
915,000
0.900%, 
9/15/2025
895,152
Edison
International
1,420,000
2.950%, 
3/15/2023
1,467,309
Enel
Finance
International
NV
2,000,000
2.750%, 
4/6/2023
a
2,079,538
Entergy
Corporation
870,000
0.900%, 
9/15/2025
849,566
Exelon
Corporation
1,250,000
3.497%, 
6/1/2022
1,289,286
Florida
Power
&
Light
Company
1,150,000
2.850%, 
4/1/2025
1,227,421
Georgia
Power
Company
950,000
2.100%, 
7/30/2023
980,578
ITC
Holdings
Corporation
1,500,000
2.700%, 
11/15/2022
1,548,176
Jersey
Central
Power
&
Light
Company
1,500,000
4.300%, 
1/15/2026
a
1,639,199
National
Rural
Utilities
Cooperative
Finance
Corporation
1,150,000
4.750%, 
4/30/2043
b
1,180,421
NextEra
Energy
Capital
Holdings,
Inc.
1,500,000
0.650%, 
3/1/2023
1,504,796
NiSource,
Inc.
1,250,000
5.650%, 
6/15/2023
b,g
1,290,625
920,000
0.950%, 
8/15/2025
902,499
PPL
Capital
Funding,
Inc.
1,580,000
3.500%, 
12/1/2022
1,644,641
Public
Service
Enterprise
Group,
Inc.
2,000,000
2.875%, 
6/15/2024
2,118,863
Sempra
Energy
1,875,000
3.550%, 
6/15/2024
2,014,624
Southern
California
Edison
Company
1,000,000
1.100%, 
4/1/2024
c
999,986
Southern
Company
1,500,000
2.950%, 
7/1/2023
1,570,946
900,000
4.000%, 
1/15/2051
b
949,725
WEC
Energy
Group,
Inc.
1,140,000
0.550%, 
9/15/2023
1,137,656
Xcel
Energy,
Inc.
1,350,000
0.500%, 
10/15/2023
1,348,701
Total
41,078,391
Total
Long-Term
Fixed
Income
(cost
$1,119,372,489)
1,136,274,364
Shares
Preferred
Stock
(
0.2%
)
Value
Financials
(0.2%)
66,000
Citigroup
Capital
XIII,
6.582%
b
$
1,775,400
Total
1,775,400
Total
Preferred
Stock
(cost
$1,821,600)
1,775,400
Shares
Collateral
Held
for
Securities
Loaned
(
<0.1%
)
Value
291,450
Thrivent
Cash
Management
Trust
291,450
Total
Collateral
Held
for
Securities
Loaned
(cost
$291,450)
291,450
Shares
or
Principal
Amount
Short-Term
Investments
(
14.7%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
500,000
0.085%,
4/7/2021
i,j
500,000
100,000
0.075%,
4/21/2021
i,j
100,000
100,000
0.035%,
5/19/2021
i,j
99,999
100,000
0.031%,
5/26/2021
i,j
99,998
700,000
0.035%,
6/2/2021
i,j
699,976
Federal
National
Mortgage
Association
Discount
Notes
200,000
0.005%,
6/16/2021
i,j
199,992
Thrivent
Core
Short-Term
Reserve
Fund
16,679,104
0.180%
166,791,042
U.S.
Treasury
Bills
500,000
0.022%,
4/20/2021
i,k
499,995
600,000
0.028%,
4/22/2021
i,k
599,996
500,000
0.048%,
8/26/2021
i,k
499,954
Total
Short-Term
Investments
(cost
$170,016,198)
170,090,952
Total
Investments
(cost
$1,291,501,737)
112.8%
$1,308,432,166
Other
Assets
and
Liabilities,
Net
(12.8%)
(148,081,112)
Total
Net
Assets
100.0%
$1,160,351,054
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
March
31,
2021,
the
value
of
these
investments
was
$470,797,848
or
40.6%
of
total
net
assets.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
March
31,
2021.
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
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
d
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
March
31,
2021.
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
172
e
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
f
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
g
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
h
All
or
a
portion
of
the
security
is
on
loan.
i
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
j
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.
k
At
March
31,
2021,
$1,309,966
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
Limited
Maturity
Bond
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
282,061
Total
lending
$282,061
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$291,450
Net
amounts
due
to
counterparty
$9,389
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
CLO
-
Collateralized
Loan
Obligation
HECM
-
Home
Equity
Conversion
Mortgage
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
Ser.
-
Series
Reference
Rate
Index:
12
MTA
-
12
Month
Treasury
Average
CMT
1Y
-
Constant
Maturity
Treasury
Yield
1
Year
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
LIBOR
12M
-
ICE
Libor
USD
Rate
12
Month
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
173
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
Limited
Maturity
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
195,312,088
195,312,088
Basic
Materials
11,995,095
11,995,095
Capital
Goods
23,777,073
23,777,073
Collateralized
Mortgage
Obligations
167,319,175
156,819,175
10,500,000
Commercial
Mortgage-Backed
Securities
4,429,041
4,429,041
Communications
Services
33,690,637
33,690,637
Consumer
Cyclical
59,580,666
59,580,666
Consumer
Non-Cyclical
61,227,386
61,227,386
Energy
50,174,967
50,174,967
Financials
234,716,186
234,716,186
Foreign
Government
2,081,365
2,081,365
Mortgage-Backed
Securities
124,600,234
122,100,234
2,500,000
Technology
32,090,923
32,090,923
Transportation
24,997,998
24,997,998
U.S.
Government
&
Agencies
69,203,139
69,203,139
Utilities
41,078,391
41,078,391
Preferred
Stock
Financials
1,775,400
1,775,400
Short-Term
Investments
3,299,910
3,299,910
Subtotal
Investments
in
Securities
$1,141,349,674
$1,775,400
$1,126,574,274
$13,000,000
Other
Investments  *
Total
Affiliated
Short-Term
Investments
166,791,042
Collateral
Held
for
Securities
Loaned
291,450
Subtotal
Other
Investments
$167,082,492
Total
Investments
at
Value
$1,308,432,166
*
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
1,720,892
1,720,892
Total
Asset
Derivatives
$1,720,892
$1,720,892
$–
$–
Liability
Derivatives
Futures
Contracts
102,037
102,037
Total
Liability
Derivatives
$102,037
$102,037
$–
$–
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
174
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
The
following
table
presents
Limited
Maturity
Bond
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$1,699,965
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
460
June
2021
$
101,636,255
(
$
102,037)
Total
Futures
Long
Contracts
$
101,636,255
(
$
102,037)
CBOT
10-Yr.
U.S.
Treasury
Note
(130)
June
2021
(
$
17,295,341)
$
273,466
CBOT
5-Yr.
U.S.
Treasury
Note
(1,195)
June
2021
(
148,790,320)
1,329,184
CBOT
U.S.
Long
Bond
(20)
June
2021
(
3,107,445)
15,570
CME
Ultra
Long
Term
U.S.
Treasury
Bond
(6)
June
2021
(
1,166,277)
78,965
Ultra
10-Yr.
U.S.
Treasury
Note
(70)
June
2021
(
10,081,832)
23,707
Total
Futures
Short
Contracts
(
$
180,441,215)
$1,720,892
Total
Futures
Contracts
(
$
78,804,960)
$1,618,855
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
Limited
Maturity
Bond
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$158,253
$138,041
$129,503
$166,791
16,679
14.4%
Total
Affiliated
Short-Term
Investments
158,253
166,791
14.4
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1,840
1,956
3,505
291
291
<0.1
Total
Collateral
Held
for
Securities
Loaned
1,840
291
<0.1
Total
Value
$160,093
$167,082
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$83
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$83
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$–
$–
$–
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
175
Shares
Common
Stock
(
98.6%
)
Value
Communications
Services
(10.7%)
15
Alphabet,
Inc.,
Class
A
a
$
30,938
6,556
AT&T,
Inc.
198,450
8,486
BCE,
Inc.
383,075
3,052
Carsales.com,
Ltd.
41,505
2,728
Comcast
Corporation
147,612
15,428
Deutsche
Telekom
AG
310,928
319
Electronic
Arts,
Inc.
43,183
2,603
Elisa
Oyj
156,138
39,500
HKBN,
Ltd.
57,535
141,000
HKT
Trust
and
HKT,
Ltd.
201,258
6,300
KDDI
Corporation
194,107
38,485
Koninklijke
(Royal)
KPN
NV
130,544
1,337
Match
Group,
Inc.
a
183,677
16,500
Nippon
Telegraph
&
Telephone
Corporation
425,732
6,164
Orange
SA
75,854
503,804
PCCW,
Ltd.
284,514
1,481
Rogers
Communications,
Inc.
68,293
19,500
SKY
Perfect
JSAT
Holdings,
Inc.
86,777
65,700
SoftBank
Corporation
854,729
31,139
Spark
New
Zealand,
Ltd.
97,532
12,969
Telefonica
Deutschland
Holding
AG
38,044
228
T-Mobile
US,
Inc.
a
28,566
15,858
Verizon
Communications,
Inc.
922,143
Total
4,961,134
Consumer
Discretionary
(5.4%)
500
ABC-MART,
Inc.
28,235
20,000
Cafe
de
Coral
Holdings,
Ltd.
43,470
900
Canon
Marketing
Japan,
Inc.
20,032
503
Dollar
General
Corporation
101,918
5,734
Dollarama
,
Inc.
253,324
6,919
Domino's
Pizza
Group
plc
33,100
220
Domino's
Pizza,
Inc.
80,914
3,000
Galaxy
Entertainment
Group,
Ltd.
a
27,121
92
Hermes
International
101,752
1,567
Home
Depot,
Inc.
478,327
3,482
McDonald's
Corporation
780,455
15
Mercadolibre
,
Inc.
a
22,082
15,400
Nippon
Parking
Development
Company,
Ltd.
21,307
15,500
Nissan
Motor
Company,
Ltd.
a
86,593
1,000
Ohsho
Food
Service
Corporation
52,644
200
Pan
Pacific
International
Holdings
Company
4,721
4,200
Sangetsu
Company,
Ltd.
63,795
1,400
Sankyo
Company,
Ltd.
37,128
3,100
T-GAIA
Corporation
53,799
8,800
USS
Company,
Ltd.
172,597
162
Yum!
Brands,
Inc.
17,525
Total
2,480,839
Consumer
Staples
(14.2%)
918
Altria
Group,
Inc.
46,965
1,277
Church
&
Dwight
Company,
Inc.
111,546
8,074
Colgate-Palmolive
Company
636,473
893
Costco
Wholesale
Corporation
314,765
2,795
Hershey
Company
442,057
3,348
Hormel
Foods
Corporation
159,967
24,400
Japan
Tobacco,
Inc.
468,734
2,500
Kao
Corporation
165,422
713
Kellogg
Company
45,133
553
Kerry
Group
plc
69,064
1,146
Kimberly-Clark
Corporation
159,351
Shares
Common
Stock
(98.6%)
Value
Consumer
Staples
(14.2%)
-
continued
7,620
Koninklijke
Ahold
Delhaize
NV
$
212,544
30
Lindt
&
Spruengli
AG
261,336
2,885
McCormick
&
Company,
Inc.
257,227
854
Monster
Beverage
Corporation
a
77,791
4,076
Nestle
SA
454,378
1,500
Noevir
Holdings
Company,
Ltd.
68,145
3,402
Orkla
ASA
33,364
4,775
PepsiCo,
Inc.
675,424
1,251
Philip
Morris
International,
Inc.
111,014
5,320
Procter
&
Gamble
Company
720,488
645
Royal
Unibrew
AS
67,424
1,600
San-A
Company,
Ltd.
66,672
5,900
Seven
&
I
Holdings
Company,
Ltd.
238,250
4,321
Wal-Mart
Stores,
Inc.
586,921
2,850
Winpak
,
Ltd.
102,212
1,500
Woolworths,
Ltd.
46,716
Total
6,599,383
Energy
(0.8%)
39,200
Eneos
Holdings,
Inc.
177,845
736
Koninklijke
Vopak
NV
36,622
1,000
Nippon
Gas
Company,
Ltd.
17,419
6,313
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
151,977
Total
383,863
Financials
(6.9%)
130
Alleghany
Corporation
a
81,418
218
Allstate
Corporation
25,048
991
Aon
plc
228,039
2,552
Arthur
J.
Gallagher
&
Company
318,413
376
ASX,
Ltd.
20,353
1,375
Berkshire
Hathaway,
Inc.
a
351,271
349
Cboe
Global
Markets,
Inc.
34,443
62
Chubb,
Ltd.
9,794
567
Cincinnati
Financial
Corporation
58,452
1,089
CME
Group,
Inc.
222,407
246
Deutsche
Boerse
AG
40,878
175
Erie
Indemnity
Company
38,659
293
FactSet
Research
Systems,
Inc.
90,417
282
Intact
Financial
Corporation
34,557
29,500
Japan
Post
Bank
Company,
Ltd.
283,680
9,100
Japan
Post
Holdings
Company,
Ltd.
81,101
5,794
Laurentian
Bank
of
Canada
b
184,558
59
MarketAxess
Holdings,
Inc.
29,377
2,544
Marsh
&
McLennan
Companies,
Inc.
309,859
1,931
Mizrahi
Tefahot
Bank,
Ltd.
a
50,352
1,117
Ringkjoebing
Landbobank
AS
109,178
17,200
Singapore
Exchange,
Ltd.
127,568
157
St.
Galler
Kantonalbank
AG
70,817
5,400
Sumitomo
Mitsui
Financial
Group,
Inc.
195,735
12,671
Umpqua
Holdings
Corporation
222,376
Total
3,218,750
Health
Care
(18.1%)
3,775
Abbott
Laboratories
452,396
264
Abcam
plc
a
5,063
1,203
Amgen,
Inc.
299,318
575
Amplifon
SPA
a
21,396
4,600
Astellas
Pharmaceutical,
Inc.
70,860
2,134
Baxter
International,
Inc.
179,981
345
Becton,
Dickinson
and
Company
83,887
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
176
Shares
Common
Stock
(98.6%)
Value
Health
Care
(18.1%)
-
continued
5,500
Chugai
Pharmaceutical
Company,
Ltd.
$
223,486
2,165
Coloplast
AS
325,501
1,814
Danaher
Corporation
408,295
2,333
Dechra
Pharmaceuticals
plc
110,319
822
DiaSorin
SPA
131,886
2,192
Eli
Lilly
and
Company
409,509
8,098
Gilead
Sciences,
Inc.
523,374
81
Illumina,
Inc.
a
31,109
667
Incyte
Corporation
a
54,207
4,776
Johnson
&
Johnson
784,936
102
Masimo
Corporation
a
23,425
4,109
Medtronic
plc
485,396
6,064
Merck
&
Company,
Inc.
467,474
23
Mettler
-Toledo
International,
Inc.
a
26,581
152
Moderna
,
Inc.
a
19,904
2,121
Novartis
AG
181,305
4,833
Novo
Nordisk
AS
325,665
2,231
Qiagen
NV
a
107,979
1,503
Regeneron
Pharmaceuticals,
Inc.
a
711,129
1,244
Roche
Holding
AG
402,986
4,000
Sawai
Pharmaceutical
Company,
Ltd.
c
192,589
354
Sonova
Holding
AG
a
93,837
708
Stryker
Corporation
172,455
100
Sysmex
Corporation
10,794
895
Tecan
Group
AG
397,058
800
UnitedHealth
Group,
Inc.
297,656
1,451
Vertex
Pharmaceuticals,
Inc.
a
311,805
222
Zoetis,
Inc.
34,961
Total
8,378,522
Industrials
(9.4%)
3,169
Canadian
National
Railway
Company
367,762
78
Canadian
Pacific
Railway,
Ltd.
29,792
676
Geberit
AG
430,237
365
IDEX
Corporation
76,402
13,300
Kamigumi
Company,
Ltd.
252,313
41,400
Kandenko
Company,
Ltd.
362,761
546
Kuehne
&
Nagel
International
AG
155,952
323
L3Harris
Technologies,
Inc.
65,466
387
Landstar
System,
Inc.
63,878
359
Lockheed
Martin
Corporation
132,650
8,500
Marubeni
Corporation
70,993
1,900
Max
Company,
Ltd.
28,139
4,000
Mitsubishi
Corporation
113,396
15,400
Nikkon
Holdings
Company,
Ltd.
309,846
3,300
Nishimatsu
Construction
Company,
Ltd.
83,760
5,629
Republic
Services,
Inc.
559,241
41
Rockwell
Automation,
Inc.
10,883
1,300
Sumitomo
Corporation
18,605
17,900
Takasago
Thermal
Engineering
Company,
Ltd.
279,174
2,014
Verisk
Analytics,
Inc.
355,854
1,168
Waste
Connections,
Inc.
126,121
3,461
Waste
Management,
Inc.
446,538
Total
4,339,763
Information
Technology
(18.3%)
1,816
Accenture
plc
501,670
897
Adobe,
Inc.
a
426,407
4,900
Amphenol
Corporation
323,253
932
Apple,
Inc.
113,844
Shares
Common
Stock
(98.6%)
Value
Information
Technology
(18.3%)
-
continued
299
Arista
Networks,
Inc.
a
$
90,265
1,087
Automatic
Data
Processing,
Inc.
204,867
636
Broadridge
Financial
Solutions,
Inc.
97,372
1,700
Canon
Electronics,
Inc.
26,509
11,800
Canon,
Inc.
268,261
4,460
CGI,
Inc.
a
371,507
2,827
Cisco
Systems,
Inc.
146,184
790
Citrix
Systems,
Inc.
110,884
544
Fiserv,
Inc.
a
64,758
8,000
IGG,
Inc.
10,342
680
Intuit,
Inc.
260,481
3,803
Jack
Henry
&
Associates,
Inc.
576,991
200
Kanematsu
Electronics,
Ltd.
6,751
200
Keyence
Corporation
91,151
1,573
Keysight
Technologies,
Inc.
a
225,568
1,661
Mastercard
,
Inc.
591,399
1,721
Microsoft
Corporation
405,760
2,843
Motorola
Solutions,
Inc.
534,626
700
NSD
Company,
Ltd.
11,679
100
OBIC
Company,
Ltd.
18,349
5,598
Paychex,
Inc.
548,716
3,000
Ryosan
Company,
Ltd.
61,357
5,000
SUNeVision
Holdings,
Ltd.
5,181
531
Synopsys,
Inc.
a
131,571
3,018
Texas
Instruments,
Inc.
570,372
3,760
Thomson
Reuters
Corporation
329,385
1,618
Tyler
Technologies,
Inc.
a
686,890
1,692
VeriSign,
Inc.
a
336,302
1,291
Visa,
Inc.
273,343
206
Zoom
Video
Communications,
Inc.
a
66,186
Total
8,488,181
Materials
(4.5%)
19,442
Barrick
Gold
Corporation
385,684
169
Croda
International
plc
14,787
4,388
Franco-Nevada
Corporation
549,772
23
Givaudan
SA
88,717
1,156
Kirkland
Lake
Gold,
Ltd.
39,039
10,670
Newmont
Mining
Corporation
643,081
1,600
Nippon
Paint
Holdings
Company,
Ltd.
23,110
6,500
Nippon
Steel
Trading
Corporation
238,893
484
Symrise
AG
58,725
1,190
Wheaton
Precious
Metals
Corporation
45,470
Total
2,087,278
Real
Estate
(4.2%)
312
American
Tower
Corporation
74,587
144
Bachem
Holding
AG
61,658
634
Camden
Property
Trust
69,683
1,032
Canadian
Apartment
Properties
REIT
44,230
3,714
Extra
Space
Storage,
Inc.
492,291
36,700
Link
REIT
334,841
58,300
Mapletree
Commercial
Trust
a
92,113
2,782
Public
Storage,
Inc.
686,486
3,001
Quebecor,
Inc.
80,571
Total
1,936,460
Utilities
(6.1%)
5,451
American
Electric
Power
Company,
Inc.
461,700
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
177
Shares
Common
Stock
(98.6%)
Value
Utilities
(6.1%)
-
continued
637
American
Water
Works
Company,
Inc.
$
95,499
7,524
Consolidated
Edison,
Inc.
562,795
1,283
Dominion
Energy,
Inc.
97,457
273
DTE
Energy
Company
36,347
1,093
Duke
Energy
Corporation
105,507
13,141
Enel
SPA
130,719
593
Eversource
Energy
51,348
119,500
HK
Electric
Investments,
Ltd.
118,734
21,000
Hong
Kong
and
China
Gas
Company,
Ltd.
33,297
3,979
Iberdrola
SA
51,357
6,862
NextEra
Energy,
Inc.
518,836
2,593
Southern
Company
161,181
1,471
WEC
Energy
Group,
Inc.
137,671
4,147
Xcel
Energy,
Inc.
275,817
Total
2,838,265
Total
Common
Stock
(cost
$40,181,833)
45,712,438
Shares
Collateral
Held
for
Securities
Loaned
(
1.0%
)
Value
449,903
Thrivent
Cash
Management
Trust
449,903
Total
Collateral
Held
for
Securities
Loaned
(cost
$449,903)
449,903
Shares
Short-Term
Investments
(
0.3%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
12,076
0.180%
120,759
Total
Short-Term
Investments
(cost
$120,759)
120,759
Total
Investments
(cost
$40,752,495)
99.9%
$46,283,100
Other
Assets
and
Liabilities,
Net
0.1%
67,373
Total
Net
Assets
100.0%
$46,350,473
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.
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
Low
Volatility
Equity
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
154,393
Total
lending
$154,393
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$449,903
Net
amounts
due
to
counterparty
$295,510
Definitions:
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
178
Reference
Description:
MSCI
-
Morgan
Stanley
Capital
International
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
4,961,134
1,554,569
3,406,565
Consumer
Discretionary
2,480,839
1,481,221
999,618
Consumer
Staples
6,599,383
4,345,122
2,254,261
Energy
383,863
383,863
Financials
3,218,750
2,019,973
1,198,777
Health
Care
8,378,522
5,777,798
2,408,135
192,589
Industrials
4,339,763
1,837,033
2,502,730
Information
Technology
8,488,181
7,287,709
1,200,472
Materials
2,087,278
1,238,323
848,955
Real
Estate
1,936,460
1,323,047
613,413
Utilities
2,838,265
2,504,158
334,107
Subtotal
Investments
in
Securities
$45,712,438
$29,368,953
$16,150,896
$192,589
Other
Investments  *
Total
Affiliated
Short-Term
Investments
120,759
Collateral
Held
for
Securities
Loaned
449,903
Subtotal
Other
Investments
$570,662
Total
Investments
at
Value
$46,283,100
*
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
1,273
1,273
Total
Asset
Derivatives
$1,273
$1,273
$–
$–
The
following
table
presents
Low
Volatility
Equity
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$20,462
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
3
June
2021
$
251,177
$
1,273
Total
Futures
Long
Contracts
$
251,177
$
1,273
Total
Futures
Contracts
$
251,177
$1,273
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
179
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:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$1,886
$1,765
$121
12
0.3%
Total
Affiliated
Short-Term
Investments
121
0.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
159
396
105
450
450
1.0
Total
Collateral
Held
for
Securities
Loaned
159
450
1.0
Total
Value
$159
$571
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$0
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$0
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
0
Total
Value
$–
$–
$–
Mid
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
180
Shares
Common
Stock
(
98.2%
)
Value
Communications
Services
(4.5%)
1,763
Live
Nation
Entertainment,
Inc.
a
$
149,238
4,059
Match
Group,
Inc.
a
557,625
2,401
RingCentral,
Inc.
a
715,210
1,707
Take-Two
Interactive
Software,
Inc.
a
301,627
Total
1,723,700
Consumer
Discretionary
(16.0%)
4,002
Aptiv
plc
a
551,876
906
Bright
Horizons
Family
Solutions,
Inc.
a
155,334
1,917
Burlington
Stores,
Inc.
a
572,800
4,210
Caesars
Entertainment,
Inc.
a
368,164
4,221
Chegg
,
Inc.
a
361,571
5,268
Chewy,
Inc.
a,b
446,252
311
Chipotle
Mexican
Grill,
Inc.
a
441,875
921
Domino's
Pizza,
Inc.
338,735
689
Etsy,
Inc.
a
138,951
4,907
Farfetch
,
Ltd.
a
260,169
1,680
Five
Below,
Inc.
a
320,527
1,082
Lithia
Motors,
Inc.
422,077
126
NVR,
Inc.
a
593,577
4,892
Planet
Fitness,
Inc.
a
378,152
1,484
Ulta
Beauty,
Inc.
a
458,808
4,140
Wyndham
Hotels
&
Resorts,
Inc.
288,889
Total
6,097,757
Consumer
Staples
(1.3%)
6,357
Lamb
Weston
Holdings,
Inc.
492,540
Total
492,540
Financials
(5.7%)
5,433
Arch
Capital
Group,
Ltd.
a
208,464
2,606
Arthur
J.
Gallagher
&
Company
325,151
1,800
Kinsale
Capital
Group,
Inc.
296,640
1,153
MSCI,
Inc.
483,430
1,752
Signature
Bank
396,127
5,045
Western
Alliance
Bancorp
476,450
Total
2,186,262
Health
Care
(19.4%)
10,152
ACADIA
Pharmaceuticals,
Inc.
a
261,922
5,256
Adaptive
Biotechnologies
Corporation
a
211,607
1,318
Argenx
SE
ADR
a
362,964
2,198
Ascendis
Pharma
AS
ADR
a
283,278
2,323
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
158,777
1,323
Bio-
Techne
Corporation
505,293
2,939
Catalent
,
Inc.
a
309,506
1,686
Dexcom
,
Inc.
a
605,932
9,970
GoodRx
Holdings,
Inc.
a,b
389,030
4,577
Guardant
Health,
Inc.
a
698,679
2,188
Immunocore
Holdings
plc
ADR
a
93,143
2,649
Insulet
Corporation
a
691,177
2,915
Ionis
Pharmaceuticals,
Inc.
a
131,058
3,128
LHC
Group,
Inc.
a
598,105
2,932
Nevro
Corporation
a
409,014
1,106
Sarepta
Therapeutics,
Inc.
a
82,430
1,606
Teleflex,
Inc.
667,229
1,647
Veeva
Systems,
Inc.
a
430,262
2,431
Zoetis,
Inc.
382,834
3,354
Zymeworks
,
Inc.
a
105,919
Total
7,378,159
Shares
Common
Stock
(98.2%)
Value
Industrials
(16.3%)
4,237
ASGN,
Inc.
a
$
404,379
3,126
Chart
Industries,
Inc.
a
444,986
1,951
Generac
Holdings,
Inc.
a
638,855
25,000
Howmet
Aerospace,
Inc.
a
803,250
1,666
IDEX
Corporation
348,727
4,319
Mercury
Systems,
Inc.
a
305,138
2,144
Middleby
Corporation
a
355,368
1,635
Old
Dominion
Freight
Line,
Inc.
393,070
3,866
Regal-Beloit
Corporation
551,601
7,592
TransUnion
683,280
3,621
Trex
Company,
Inc.
a
331,466
2,892
United
Rentals,
Inc.
a
952,365
Total
6,212,485
Information
Technology
(28.3%)
4,982
Amphenol
Corporation
328,663
9,363
Anaplan,
Inc.
a
504,198
1,738
Atlassian
Corporation
plc
a
366,301
4,039
Bandwidth,
Inc.
a
511,903
6,989
BigCommerce
Holdings,
Inc.
a
403,964
1,494
Coupa
Software,
Inc.
a
380,193
2,538
DocuSign,
Inc.
a
513,818
9,014
Elastic
NV
a
1,002,357
954
EPAM
Systems,
Inc.
a
378,442
2,983
Euronet
Worldwide,
Inc.
a
412,549
3,511
Global
Payments,
Inc.
707,747
503
Lam
Research
Corporation
299,406
4,849
Lumentum
Holdings,
Inc.
a
442,956
13,671
Medallia
,
Inc.
a
381,284
2,845
MKS
Instruments,
Inc.
527,520
1,971
Monolithic
Power
Systems,
Inc.
696,177
1,377
Nice,
Ltd.
ADR
a
300,145
1,778
Okta
,
Inc.
a
391,925
1,805
Palo
Alto
Networks,
Inc.
a
581,318
1,816
Qorvo
,
Inc.
a
331,783
478
ServiceNow
,
Inc.
a
239,053
13,376
STMicroelectronics
NV
ADR
512,702
299
Trade
Desk,
Inc.
a
194,846
2,050
Zscaler
,
Inc.
a
351,923
Total
10,761,173
Materials
(2.3%)
1,695
Martin
Marietta
Materials,
Inc.
569,215
1,225
Quaker
Chemical
Corporation
298,618
Total
867,833
Real
Estate
(4.4%)
1,762
Camden
Property
Trust
193,661
7,059
CBRE
Group,
Inc.
a
558,438
698
CoStar
Group,
Inc.
a
573,679
1,313
SBA
Communications
Corporation
364,423
Total
1,690,201
Total
Common
Stock
(cost
$33,273,338)
37,410,110
Shares
Collateral
Held
for
Securities
Loaned
(
2.1%
)
Value
816,670
Thrivent
Cash
Management
Trust
816,670
Total
Collateral
Held
for
Securities
Loaned
(cost
$816,670)
816,670
Mid
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
181
Shares
Registered
Investment
Companies
(
0.4%
)
Value
Unaffiliated  (0.4%)
1,768
SPDR
S&P
Oil
&
Gas
Exploration
ETF
b
$
143,809
Total
143,809
Total
Registered
Investment
Companies
(cost
$112,912)
143,809
Shares
Short-Term
Investments
(
1.8%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
67,072
0.180%
670,720
Total
Short-Term
Investments
(cost
$670,720)
670,720
Total
Investments
(cost
$34,873,640)
102.5%
$39,041,309
Other
Assets
and
Liabilities,
Net
(2.5%)
(939,693)
Total
Net
Assets
100.0%
$38,101,616
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
Growth
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
829,646
Total
lending
$829,646
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$816,670
Net
amounts
due
to
counterparty
$(12,976)
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.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
Mid
Cap
Growth
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
1,723,700
1,723,700
Consumer
Discretionary
6,097,757
6,097,757
Consumer
Staples
492,540
492,540
Financials
2,186,262
2,186,262
Health
Care
7,378,159
7,378,159
Industrials
6,212,485
6,212,485
Information
Technology
10,761,173
10,761,173
Materials
867,833
867,833
Real
Estate
1,690,201
1,690,201
Registered
Investment
Companies
Unaffiliated
143,809
143,809
Subtotal
Investments
in
Securities
$37,553,919
$37,553,919
$–
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
670,720
Collateral
Held
for
Securities
Loaned
816,670
Subtotal
Other
Investments
$1,487,390
Total
Investments
at
Value
$39,041,309
*
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.  
Mid
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
182
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
Growth
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$887
$9,310
$9,526
$671
67
1.8%
Total
Affiliated
Short-Term
Investments
887
671
1.8
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
949
2,711
2,843
817
817
2.1
Total
Collateral
Held
for
Securities
Loaned
949
817
2.1
Total
Value
$1,836
$1,488
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$0
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
0
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$–
$–
$–
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
183
Shares
Common
Stock
(
99.2%
)
Value
Communications
Services
(1.7%)
1,444
Cable
One,
Inc.
$
2,640,152
28,688
Cinemark
Holdings,
Inc.
a,b
585,522
31,414
Iridium
Communications,
Inc.
b
1,295,827
11,575
John
Wiley
and
Sons,
Inc.
627,365
38,546
New
York
Times
Company
1,951,199
58,395
Tegna,
Inc.
1,099,578
26,476
Telephone
&
Data
Systems,
Inc.
607,889
12,425
World
Wrestling
Entertainment,
Inc.
674,180
18,725
Yelp,
Inc.
b
730,275
Total
10,211,987
Consumer
Discretionary
(15.3%)
25,001
Adient
plc
b
1,105,044
13,333
Adtalem
Global
Education,
Inc.
b
527,187
39,762
American
Eagle
Outfitters,
Inc.
a
1,162,641
14,647
AutoNation,
Inc.
b
1,365,393
21,412
Boyd
Gaming
Corporation
b
1,262,452
20,676
Brunswick
Corporation
1,971,870
40,155
Capri
Holdings,
Ltd.
b
2,047,905
11,711
Carter's,
Inc.
b
1,041,459
7,677
Choice
Hotels
International,
Inc.
823,665
9,206
Churchill
Downs,
Inc.
2,093,629
8,118
Columbia
Sportswear
Company
857,504
6,307
Cracker
Barrel
Old
Country
Store,
Inc.
1,090,354
38,461
Dana,
Inc.
935,756
7,489
Deckers
Outdoor
Corporation
b
2,474,515
17,475
Dick's
Sporting
Goods,
Inc.
1,330,721
14,854
Five
Below,
Inc.
b
2,833,995
27,705
Foot
Locker,
Inc.
1,558,406
11,113
Fox
Factory
Holding
Corporation
b
1,412,018
64,778
Gentex
Corporation
2,310,631
62,023
Goodyear
Tire
&
Rubber
Company
b
1,089,744
1,073
Graham
Holdings
Company
603,498
12,461
Grand
Canyon
Education,
Inc.
b
1,334,573
24,792
GrubHub,
Inc.
b
1,487,520
48,761
H&R
Block,
Inc.
1,062,990
40,758
Harley-Davidson,
Inc.
1,634,396
6,486
Helen
of
Troy,
Ltd.
b
1,366,341
35,771
IAA,
Inc.
b
1,972,413
6,069
Jack
in
the
Box,
Inc.
666,255
23,651
KB
Home
1,100,481
41,912
Kohl's
Corporation
2,498,374
14,543
Lear
Corporation
2,635,919
7,080
Lithia
Motors,
Inc.
2,761,837
10,952
Marriott
Vacations
Worldwide
Corporation
b
1,907,619
92,561
Mattel,
Inc.
b
1,843,815
6,737
Murphy
USA,
Inc.
973,901
28,946
Nordstrom,
Inc.
b
1,096,185
15,130
Ollie's
Bargain
Outlet
Holdings,
Inc.
b
1,316,310
8,754
Papa
John's
International,
Inc.
775,955
62,841
Park
Hotels
&
Resorts,
Inc.
b
1,356,109
15,486
Polaris,
Inc.
2,067,381
4,339
RH
b
2,588,647
14,962
Scientific
Games
Corporation
b
576,336
45,042
Service
Corporation
International
2,299,394
20,152
Six
Flags
Entertainment
Corporation
b
936,463
36,350
Skechers
USA,
Inc.
b
1,516,158
6,489
Strategic
Education,
Inc.
596,404
34,249
Taylor
Morrison
Home
Corporation
b
1,055,212
Shares
Common
Stock
(99.2%)
Value
Consumer
Discretionary
(15.3%)
-
continued
50,769
Tempur
Sealy
International,
Inc.
$
1,856,115
17,398
Texas
Roadhouse,
Inc.
b
1,669,164
14,719
Thor
Industries,
Inc.
1,983,238
29,786
Toll
Brothers,
Inc.
1,689,760
8,778
TopBuild
Corporation
b
1,838,377
22,845
Travel
+
Leisure
Company
1,397,200
31,691
Tri
Pointe
Homes,
Inc.
b
645,229
25,629
TripAdvisor,
Inc.
b
1,378,584
18,197
Urban
Outfitters,
Inc.
b
676,746
7,421
Visteon
Corporation
b
904,991
12,654
Weight
Watchers
International,
Inc.
b
395,817
47,606
Wendy's
Company
964,498
20,361
Williams-Sonoma,
Inc.
3,648,691
7,893
Wingstop,
Inc.
1,003,753
24,769
Wyndham
Hotels
&
Resorts,
Inc.
1,728,381
19,931
YETI
Holdings,
Inc.
b
1,439,218
Total
92,545,137
Consumer
Staples
(3.6%)
36,496
BJ's
Wholesale
Club
Holdings,
Inc.
b
1,637,211
2,447
Boston
Beer
Company,
Inc.
b
2,951,767
9,822
Casey's
General
Stores,
Inc.
2,123,418
75,425
Coty,
Inc.
b
679,579
43,227
Darling
Ingredients,
Inc.
b
3,180,643
15,449
Energizer
Holdings,
Inc.
733,210
52,341
Flowers
Foods,
Inc.
1,245,716
23,043
Grocery
Outlet
Holding
Corporation
b
850,056
21,779
Hain
Celestial
Group,
Inc.
b
949,564
17,841
Ingredion,
Inc.
1,604,263
5,200
Lancaster
Colony
Corporation
911,872
13,517
Nu
Skin
Enterprises,
Inc.
714,914
12,948
Pilgrim's
Pride
Corporation
b
308,033
15,914
Post
Holdings,
Inc.
b
1,682,428
5,283
Sanderson
Farms,
Inc.
822,986
31,358
Sprouts
Farmers
Markets,
Inc.
b
834,750
4,739
Tootsie
Roll
Industries,
Inc.
a
157,003
14,859
TreeHouse
Foods,
Inc.
b
776,234
Total
22,163,647
Energy
(1.3%)
76,071
Antero
Midstream
Corporation
686,921
49,563
ChampionX
Corporation
b
1,077,004
27,331
Cimarex
Energy
Company
1,623,188
58,409
CNX
Resources
Corporation
b
858,612
74,133
EQT
Corporation
b
1,377,391
108,438
Equitrans
Midstream
Corporation
884,854
38,384
Murphy
Oil
Corporation
629,882
16,782
World
Fuel
Services
Corporation
590,727
Total
7,728,579
Financials
(15.4%)
11,331
Affiliated
Managers
Group,
Inc.
1,688,659
3,720
Alleghany
Corporation
b
2,329,799
18,605
American
Financial
Group,
Inc.
2,122,830
40,630
Associated
Banc-Corp
867,044
25,634
BancorpSouth
Bank
832,592
10,670
Bank
of
Hawaii
Corporation
954,858
32,137
Bank
OZK
1,312,796
23,230
Brighthouse
Financial,
Inc.
b
1,027,927
62,244
Brown
&
Brown,
Inc.
2,845,173
19,869
Cathay
General
Bancorp
810,258
26,241
CIT
Group,
Inc.
1,351,674
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
184
Shares
Common
Stock
(99.2%)
Value
Financials
(15.4%)
-
continued
35,795
CNO
Financial
Group,
Inc.
$
869,461
28,013
Commerce
Bancshares,
Inc.
2,146,076
14,945
Cullen/Frost
Bankers,
Inc.
1,625,418
37,635
East
West
Bancorp,
Inc.
2,777,463
29,999
Essent
Group,
Ltd.
1,424,652
11,172
Evercore,
Inc.
1,471,799
85,477
F.N.B.
Corporation
1,085,558
10,097
FactSet
Research
Systems,
Inc.
3,115,833
25,016
Federated
Hermes,
Inc.
783,001
29,203
First
American
Financial
Corporation
1,654,350
37,816
First
Financial
Bankshares,
Inc.
1,767,142
147,671
First
Horizon
Corporation
2,497,117
10,910
FirstCash,
Inc.
716,460
43,161
Fulton
Financial
Corporation
735,032
134,522
Genworth
Financial,
Inc.
b
446,613
25,369
Glacier
Bancorp,
Inc.
1,448,063
23,062
Hancock
Whitney
Corporation
968,835
9,673
Hanover
Insurance
Group,
Inc.
1,252,267
40,391
Home
BancShares,
Inc.
1,092,577
21,479
Interactive
Brokers
Group,
Inc.
1,568,826
14,809
International
Bancshares
Corporation
687,434
45,361
Janus
Henderson
Group
plc
1,412,995
53,832
Jefferies
Financial
Group,
Inc.
1,620,343
16,357
Kemper
Corporation
1,303,980
5,691
Kinsale
Capital
Group,
Inc.
937,877
2,897
LendingTree,
Inc.
a,b
617,061
7,064
Mercury
General
Corporation
429,562
48,856
Navient
Corporation
699,129
123,806
New
York
Community
Bancorp,
Inc.
1,562,432
75,206
Old
Republic
International
Corporation
1,642,499
31,053
PacWest
Bancorp
1,184,672
20,202
Pinnacle
Financial
Partners,
Inc.
1,791,109
10,460
Primerica,
Inc.
1,546,197
18,005
PROG
Holdings,
Inc.
779,436
24,706
Prosperity
Bancshares,
Inc.
1,850,232
18,071
Reinsurance
Group
of
America,
Inc.
2,277,850
13,483
RenaissanceRe
Holdings,
Ltd.
2,160,651
10,562
RLI
Corporation
1,178,402
31,668
SEI
Investments
Company
1,929,531
15,920
Selective
Insurance
Group,
Inc.
1,154,837
15,172
Signature
Bank
3,430,389
89,099
SLM
Corporation
1,601,109
51,431
Sterling
Bancorp
1,183,942
27,907
Stifel
Financial
Corporation
1,787,722
39,517
Synovus
Financial
Corporation
1,807,903
40,570
TCF
Financial
Corporation
1,884,882
13,418
Texas
Capital
Bancshares,
Inc.
b
951,605
16,857
Trustmark
Corporation
567,407
11,528
UMB
Financial
Corporation
1,064,380
58,596
Umpqua
Holdings
Corporation
1,028,360
34,288
United
Bankshares,
Inc.
1,322,831
107,832
Valley
National
Bancorp
1,481,612
19,720
Washington
Federal,
Inc.
607,376
24,004
Webster
Financial
Corporation
1,322,860
15,124
Wintrust
Financial
Corporation
1,146,399
Total
93,545,159
Health
Care
(11.1%)
23,671
Acadia
Healthcare
Company,
Inc.
b
1,352,561
8,733
Amedisys,
Inc.
b
2,312,411
Shares
Common
Stock
(99.2%)
Value
Health
Care
(11.1%)
-
continued
27,593
Arrowhead
Research
Corporation
b
$
1,829,692
12,751
Avanos
Medical,
Inc.
b
557,729
10,315
Bio-Techne
Corporation
3,939,608
10,000
Cantel
Medical
Corporation
b
798,400
13,231
Charles
River
Laboratories
International,
Inc.
b
3,834,741
4,262
Chemed
Corporation
1,959,753
12,044
Emergent
Biosolutions,
Inc.
b
1,119,008
26,390
Encompass
Health
Corporation
2,161,341
82,942
Exelixis,
Inc.
b
1,873,660
20,546
Globus
Medical,
Inc.
b
1,267,072
13,511
Haemonetics
Corporation
b
1,499,856
33,805
Halozyme
Therapeutics,
Inc.
b
1,409,331
22,044
HealthEquity,
Inc.
b
1,498,992
17,642
Hill-Rom
Holdings,
Inc.
1,949,088
5,226
ICU
Medical,
Inc.
b
1,073,629
18,841
Integra
LifeSciences
Holdings
Corporation
b
1,301,725
14,974
Jazz
Pharmaceuticals,
Inc.
b
2,461,276
8,399
LHC
Group,
Inc.
b
1,605,973
4,416
Ligand
Pharmaceuticals,
Inc.
a,b
673,219
12,937
LivaNova
plc
b
953,845
13,517
Masimo
Corporation
b
3,104,314
7,315
Medpace
Holdings,
Inc.
b
1,200,026
15,419
Molina
Healthcare,
Inc.
b
3,604,345
48,433
Nektar
Therapeutics
b
968,660
14,155
Neogen
Corporation
b
1,258,238
24,975
Neurocrine
Biosciences,
Inc.
b
2,428,819
13,659
NuVasive,
Inc.
b
895,484
23,121
Patterson
Companies,
Inc.
738,716
9,012
Penumbra,
Inc.
a,b
2,438,467
17,159
PRA
Health
Sciences,
Inc.
b
2,630,990
10,238
Quidel
Corporation
b
1,309,747
13,542
Repligen
Corporation
b
2,632,700
12,379
STAAR
Surgical
Company
b
1,304,870
21,974
Syneos
Health,
Inc.
b
1,666,728
28,232
Tenet
Healthcare
Corporation
b
1,468,064
11,842
United
Therapeutics
Corporation
b
1,980,811
Total
67,063,889
Industrials
(17.3%)
9,578
Acuity
Brands,
Inc.
1,580,370
39,269
AECOM
b
2,517,536
16,398
AGCO
Corporation
2,355,573
14,090
ASGN,
Inc.
b
1,344,750
13,740
Avis
Budget
Group,
Inc.
b
996,700
16,957
Axon
Enterprise,
Inc.
b
2,415,016
13,163
Brink's
Company
1,042,904
54,880
Builders
FirstSource,
Inc.
b
2,544,786
14,167
Carlisle
Companies,
Inc.
2,331,605
13,402
Clean
Harbors,
Inc.
b
1,126,572
30,656
Colfax
Corporation
b
1,343,039
13,144
Crane
Company
1,234,353
10,883
Curtiss-Wright
Corporation
1,290,724
33,530
Donaldson
Company,
Inc.
1,950,105
8,139
Dycom
Industries,
Inc.
b
755,706
14,568
EMCOR
Group,
Inc.
1,633,947
11,348
EnerSys
1,030,398
34,634
Flowserve
Corporation
1,344,146
33,304
Fluor
Corporation
b
768,989
9,103
FTI
Consulting,
Inc.
b
1,275,421
9,331
GATX
Corporation
865,357
44,867
Graco,
Inc.
3,213,375
19,863
Healthcare
Services
Group,
Inc.
556,760
15,680
Herman
Miller,
Inc.
645,232
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
185
Shares
Common
Stock
(99.2%)
Value
Industrials
(17.3%)
-
continued
22,225
Hexcel
Corporation
b
$
1,244,600
14,435
Hubbell,
Inc.
2,697,757
9,448
Insperity,
Inc.
791,176
22,996
ITT
Corporation
2,090,566
84,016
JetBlue
Airways
Corporation
b
1,708,885
34,481
KAR
Auction
Services,
Inc.
b
517,215
37,443
KBR,
Inc.
1,437,437
22,207
Kennametal,
Inc.
887,614
15,974
Kirby
Corporation
b
962,913
32,588
Knight-Swift
Transportation
Holdings,
Inc.
1,567,157
10,205
Landstar
System,
Inc.
1,684,437
9,129
Lennox
International,
Inc.
2,844,505
15,861
Lincoln
Electric
Holdings,
Inc.
1,949,951
14,620
Manpower,
Inc.
1,445,918
14,994
MasTec,
Inc.
b
1,404,938
14,925
Mercury
Systems,
Inc.
b
1,054,451
14,791
Middleby
Corporation
b
2,451,608
9,664
MSA
Safety,
Inc.
1,449,793
12,420
MSC
Industrial
Direct
Company,
Inc.
1,120,160
14,367
Nordson
Corporation
2,854,436
44,711
nVent
Electric
plc
1,247,884
18,180
Oshkosh
Corporation
2,157,239
27,894
Owens
Corning,
Inc.
2,568,758
10,799
Regal-Beloit
Corporation
1,540,801
14,276
Ryder
System,
Inc.
1,079,979
11,521
Simpson
Manufacturing
Company,
Inc.
1,195,073
24,354
Stericycle,
Inc.
b
1,644,139
42,547
Sunrun,
Inc.
b
2,573,243
18,450
Terex
Corporation
849,991
14,417
Tetra
Tech,
Inc.
1,956,675
18,115
Timken
Company
1,470,395
28,611
Toro
Company
2,950,939
30,785
Trex
Company,
Inc.
b
2,818,059
21,831
Trinity
Industries,
Inc.
621,965
45,032
Univar,
Inc.
b
969,989
5,640
Valmont
Industries,
Inc.
1,340,459
44,808
Vontier
Corporation
b
1,356,338
8,738
Watsco,
Inc.
2,278,433
15,188
Werner
Enterprises,
Inc.
716,418
15,587
Woodward,
Inc.
1,880,260
27,171
XPO
Logistics,
Inc.
b
3,350,184
Total
104,896,102
Information
Technology
(14.7%)
31,142
ACI
Worldwide,
Inc.
b
1,184,953
13,211
Alliance
Data
Systems
Corporation
1,480,821
28,465
Amkor
Technology,
Inc.
674,905
19,833
Arrow
Electronics,
Inc.
b
2,197,893
26,440
Avnet,
Inc.
1,097,524
11,872
Belden,
Inc.
526,761
12,862
Blackbaud,
Inc.
b
914,231
19,731
Brooks
Automation,
Inc.
1,611,036
6,708
CACI
International,
Inc.
b
1,654,595
32,369
CDK
Global,
Inc.
1,749,868
34,812
Ceridian
HCM
Holding,
Inc.
b
2,933,607
41,249
Ciena
Corporation
b
2,257,145
15,431
Cirrus
Logic,
Inc.
b
1,308,394
7,754
CMC
Materials,
Inc.
1,370,830
46,797
Cognex
Corporation
3,883,683
6,500
Coherent,
Inc.
b
1,643,785
12,494
CommVault
Systems,
Inc.
b
805,863
11,054
Concentrix
Corporation
b
1,655,005
Shares
Common
Stock
(99.2%)
Value
Information
Technology
(14.7%)
-
continued
19,447
CoreLogic,
Inc.
$
1,541,175
30,636
Cree,
Inc.
b
3,312,671
7,772
Fair
Isaac
Corporation
b
3,777,581
22,540
First
Solar,
Inc.
b
1,967,742
27,851
II-VI,
Inc.
b
1,904,173
8,196
InterDigital,
Inc.
520,036
11,288
j2
Global,
Inc.
b
1,352,980
36,003
Jabil,
Inc.
1,877,916
6,523
Littelfuse,
Inc.
1,724,942
17,790
LiveRamp
Holding,
Inc.
b
922,945
20,125
Lumentum
Holdings,
Inc.
b
1,838,419
16,962
Manhattan
Associates,
Inc.
b
1,991,000
16,337
MAXIMUS,
Inc.
1,454,646
14,681
MKS
Instruments,
Inc.
2,722,151
34,988
National
Instruments
Corporation
1,510,957
34,587
NCR
Corporation
b
1,312,577
19,524
NetScout
Systems,
Inc.
b
549,796
9,974
Paylocity
Holding
Corporation
b
1,793,624
36,397
Perspecta,
Inc.
1,057,333
27,948
PTC,
Inc.
b
3,847,042
8,964
Qualys,
Inc.
b
939,248
84,361
Sabre
Corporation
b
1,249,386
24,307
SailPoint
Technologies
Holdings,
Inc.
b
1,230,906
15,479
Science
Applications
International
Corporation
1,293,890
17,281
Semtech
Corporation
b
1,192,389
11,677
Silicon
Laboratories,
Inc.
b
1,647,274
13,713
Solaredge
Technology,
Ltd.
b
3,941,665
9,286
Synaptics,
Inc.
b
1,257,510
10,974
SYNNEX
Corporation
1,260,254
28,978
Teradata
Corporation
b
1,116,812
11,397
Universal
Display
Corporation
2,698,468
17,301
ViaSat,
Inc.
a,b
831,659
35,261
Vishay
Intertechnology,
Inc.
849,085
11,748
WEX,
Inc.
b
2,457,917
44,362
Xerox
Holdings
Corporation
1,076,666
Total
88,973,734
Materials
(6.4%)
17,324
AptarGroup,
Inc.
2,454,291
14,515
Ashland
Global
Holdings,
Inc.
1,288,497
24,270
Avient
Corporation
1,147,243
15,052
Cabot
Corporation
789,327
43,911
Chemours
Company
1,225,556
122,018
Cleveland-Cliffs,
Inc.
2,453,782
31,920
Commercial
Metals
Company
984,413
9,032
Compass
Minerals
International,
Inc.
566,487
14,640
Domtar
Corporation
540,948
11,149
Eagle
Materials,
Inc.
1,498,537
7,052
Greif,
Inc.
401,964
10,775
Ingevity
Corporation
b
813,836
28,315
Louisiana-Pacific
Corporation
1,570,350
8,998
Minerals
Technologies,
Inc.
677,729
1,945
NewMarket
Corporation
739,411
37,960
Olin
Corporation
1,441,341
16,909
Reliance
Steel
&
Aluminum
Company
2,575,072
17,442
Royal
Gold,
Inc.
1,877,108
34,588
RPM
International,
Inc.
3,176,908
10,810
Scotts
Miracle-Gro
Company
2,648,126
11,277
Sensient
Technologies
Corporation
879,606
20,774
Silgan
Holdings,
Inc.
873,131
26,710
Sonoco
Products
Company
1,690,743
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
186
Shares
Common
Stock
(99.2%)
Value
Materials
(6.4%)
-
continued
53,291
Steel
Dynamics,
Inc.
$
2,705,051
69,778
United
States
Steel
Corporation
a
1,826,090
48,231
Valvoline,
Inc.
1,257,382
9,159
Worthington
Industries,
Inc.
614,477
Total
38,717,406
Real
Estate
(9.0%)
36,592
American
Campus
Communities,
Inc.
1,579,677
39,576
Apartment
Income
REIT
Corporation
1,692,270
78,895
Brixmor
Property
Group,
Inc.
1,596,046
25,937
Camden
Property
Trust
2,850,736
11,370
CoreSite
Realty
Corporation
1,362,694
29,823
Corporate
Office
Properties
Trust
785,240
39,496
Cousins
Properties,
Inc.
1,396,184
32,024
CyrusOne,
Inc.
2,168,665
43,848
Douglas
Emmett,
Inc.
1,376,827
10,544
EastGroup
Properties,
Inc.
1,510,744
19,877
EPR
Properties
926,069
34,328
First
Industrial
Realty
Trust,
Inc.
1,571,879
37,152
Healthcare
Realty
Trust,
Inc.
1,126,449
27,627
Highwoods
Properties,
Inc.
1,186,303
40,132
Hudson
Pacific
Properties,
Inc.
1,088,781
29,388
JBG
SMITH
Properties
934,245
13,588
Jones
Lang
LaSalle,
Inc.
b
2,432,796
28,152
Kilroy
Realty
Corporation
1,847,616
22,994
Lamar
Advertising
Company
2,159,596
20,061
Life
Storage,
Inc.
1,724,243
30,859
Macerich
Company
361,050
154,192
Medical
Properties
Trust,
Inc.
3,281,206
90,009
MGIC
Investment
Corporation
1,246,625
46,596
National
Retail
Properties,
Inc.
2,053,486
61,617
Omega
Healthcare
Investors,
Inc.
2,257,031
34,910
Pebblebrook
Hotel
Trust
847,964
55,985
Physicians
Realty
Trust
989,255
17,790
PotlatchDeltic
Corporation
941,447
5,335
PS
Business
Parks,
Inc.
824,684
36,641
Rayonier,
Inc.
REIT
1,181,672
34,941
Rexford
Industrial
Realty,
Inc.
1,761,026
56,020
Sabra
Health
Care
REIT,
Inc.
972,507
43,818
Service
Properties
Trust
519,681
18,437
SL
Green
Realty
Corporation
1,290,406
30,536
Spirit
Realty
Capital,
Inc.
1,297,780
63,770
Store
Capital
Corporation
2,136,295
29,243
Urban
Edge
Properties
483,094
31,923
Weingarten
Realty
Investors
859,048
Total
54,621,317
Utilities
(3.4%)
13,817
ALLETE,
Inc.
928,364
16,694
Black
Hills
Corporation
1,114,658
59,366
Essential
Utilities,
Inc.
2,656,629
29,026
Hawaiian
Electric
Industries,
Inc.
1,289,625
13,417
IDACORP,
Inc.
1,341,298
53,309
MDU
Resources
Group,
Inc.
1,685,097
24,236
National
Fuel
Gas
Company
1,211,558
25,588
New
Jersey
Resources
Corporation
1,020,194
13,456
NorthWestern
Corporation
877,331
53,175
OGE
Energy
Corporation
1,720,743
14,155
ONE
Gas,
Inc.
1,088,661
22,819
PNM
Resources,
Inc.
1,119,272
15,213
Southwest
Gas
Holdings,
Inc.
1,045,285
13,735
Spire,
Inc.
1,014,879
Shares
Common
Stock
(99.2%)
Value
Utilities
(3.4%)
-
continued
55,444
UGI
Corporation
$
2,273,758
Total
20,387,352
Total
Common
Stock
(cost
$404,316,491)
600,854,309
Shares
Collateral
Held
for
Securities
Loaned
(
1.1%
)
Value
6,541,400
Thrivent
Cash
Management
Trust
6,541,400
Total
Collateral
Held
for
Securities
Loaned
(cost
$6,541,400)
6,541,400
Shares
or
Principal
Amount
Short-Term
Investments
(
0.7%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
700,000
0.085%,
4/7/2021
c,d
700,000
Thrivent
Core
Short-Term
Reserve
Fund
362,529
0.180%
3,625,295
Total
Short-Term
Investments
(cost
$4,325,285)
4,325,295
Total
Investments
(cost
$415,183,176)
101.0%
$611,721,004
Other
Assets
and
Liabilities,
Net
(1.0%)
(6,140,758)
Total
Net
Assets
100.0%
$605,580,246
a
All
or
a
portion
of
the
security
is
on
loan.
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.
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
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
6,558,403
Total
lending
$6,558,403
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$6,541,400
Net
amounts
due
to
counterparty
$(17,003)
Definitions:
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
187
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
S&P
-
Standard
&
Poor's
I
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
10,211,987
10,211,987
Consumer
Discretionary
92,545,137
92,545,137
Consumer
Staples
22,163,647
22,163,647
Energy
7,728,579
7,728,579
Financials
93,545,159
93,545,159
Health
Care
67,063,889
67,063,889
Industrials
104,896,102
104,896,102
Information
Technology
88,973,734
88,973,734
Materials
38,717,406
38,717,406
Real
Estate
54,621,317
54,621,317
Utilities
20,387,352
20,387,352
Short-Term
Investments
700,000
700,000
Subtotal
Investments
in
Securities
$601,554,309
$600,854,309
$700,000
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
3,625,295
Collateral
Held
for
Securities
Loaned
6,541,400
Subtotal
Other
Investments
$10,166,695
Total
Investments
at
Value
$611,721,004
*
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
16,472
16,472
Total
Liability
Derivatives
$16,472
$16,472
$–
$–
The
following
table
presents
Mid
Cap
Index
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$500,000
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
18
June
2021
$
4,706,012
(
$
16,472)
Total
Futures
Long
Contracts
$
4,706,012
(
$
16,472)
Total
Futures
Contracts
$
4,706,012
($16,472)
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
188
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$6,420
$14,631
$17,426
$3,625
363
0.6%
Total
Affiliated
Short-Term
Investments
6,420
3,625
0.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
5,987
15,542
14,988
6,541
6,541
1.1
Total
Collateral
Held
for
Securities
Loaned
5,987
6,541
1.1
Total
Value
$12,407
$10,166
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$3
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$3
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
2
Total
Affiliated
Income
from
Securities
Loaned,
Net
$2
Total
Value
$–
$–
$–
Mid
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
189
Shares
Common
Stock
(
96.8%
)
Value
Communications
Services
(2.5%)
802,842
DISH
Network
Corporation
a
$
29,062,880
254,928
Zillow
Group,
Inc.
a
33,492,441
Total
62,555,321
Consumer
Discretionary
(14.1%)
286,386
Aptiv
plc
a
39,492,629
376,665
Caesars
Entertainment,
Inc.
a
32,939,354
134,667
Domino's
Pizza,
Inc.
49,529,176
215,583
Expedia
Group,
Inc.
a
37,106,146
875,906
Harley-Davidson,
Inc.
35,123,831
171,984
Lululemon
Athletica
,
Inc.
a
52,749,213
14,222
NVR,
Inc.
a
66,998,846
54,143
RH
a,b
32,301,714
Total
346,240,909
Consumer
Staples
(3.6%)
1,334,108
Hain
Celestial
Group,
Inc.
a
58,167,109
379,225
Lamb
Weston
Holdings,
Inc.
29,382,353
Total
87,549,462
Energy
(2.2%)
1,282,623
Devon
Energy
Corporation
28,025,312
367,613
Valero
Energy
Corporation
26,321,091
Total
54,346,403
Financials
(17.2%)
1,231,124
Ally
Financial,
Inc.
55,659,116
867,446
Arch
Capital
Group,
Ltd.
a
33,283,903
852,722
Assured
Guaranty,
Ltd.
36,053,086
1,604,165
Equitable
Holdings,
Inc.
52,327,862
2,396,703
KeyCorp
47,886,126
230,838
Kinsale
Capital
Group,
Inc.
38,042,103
1,253,743
Radian
Group,
Inc.
29,149,525
819,255
Western
Alliance
Bancorp
77,370,442
960,559
Zions
Bancorporations
NA
52,792,323
Total
422,564,486
Health
Care
(8.6%)
55,947
Align
Technology,
Inc.
a
30,296,979
140,871
Amedisys
,
Inc.
a
37,301,232
282,165
Catalent
,
Inc.
a
29,714,796
365,340
Edwards
Lifesciences
Corporation
a
30,557,037
532,862
NuVasive
,
Inc.
a
34,934,433
157,297
Quidel
Corporation
a
20,123,005
394,236
Syneos
Health,
Inc.
a
29,902,801
Total
212,830,283
Industrials
(18.7%)
455,661
Advanced
Drainage
Systems,
Inc.
47,110,791
528,494
Altra
Industrial
Motion
Corporation
29,236,288
263,682
Heico
Corporation
33,171,196
1,287,715
Howmet
Aerospace,
Inc.
a
41,374,283
691,714
Nutrien
,
Ltd.
37,276,467
203,596
Old
Dominion
Freight
Line,
Inc.
48,946,514
227,481
Regal-Beloit
Corporation
32,456,989
838,479
Southwest
Airlines
Company
a
51,197,528
609,981
Timken
Company
49,512,158
274,024
United
Rentals,
Inc.
a
90,238,843
Total
460,521,057
Information
Technology
(13.0%)
334,588
Alliance
Data
Systems
Corporation
37,503,969
133,325
ANSYS,
Inc.
a
45,271,837
712,300
Calix,
Inc.
a
24,688,318
Shares
Common
Stock
(96.8%)
Value
Information
Technology
(13.0%)
-
continued
634,580
Ciena
Corporation
a
$
34,724,218
1,199,837
Dropbox,
Inc.
a
31,987,654
166,322
Enphase
Energy,
Inc.
a
26,970,776
125,826
Nice,
Ltd.
ADR
a,b
27,426,293
2,119,110
Nuance
Communications,
Inc.
a
92,477,960
Total
321,051,025
Materials
(3.4%)
494,304
Ball
Corporation
41,887,321
815,685
Steel
Dynamics,
Inc.
41,404,171
Total
83,291,492
Real
Estate
(7.3%)
213,106
Alexandria
Real
Estate
Equities,
Inc.
35,013,316
315,064
Camden
Property
Trust
34,628,684
208,744
Digital
Realty
Trust,
Inc.
29,399,505
719,837
Douglas
Emmett,
Inc.
22,602,882
684,714
Duke
Realty
Corporation
28,710,058
1,665,874
Host
Hotels
&
Resorts,
Inc.
a
28,069,977
Total
178,424,422
Utilities
(6.2%)
986,972
Alliant
Energy
Corporation
53,454,403
1,656,372
CenterPoint
Energy,
Inc.
37,516,826
612,134
Entergy
Corporation
60,888,969
Total
151,860,198
Total
Common
Stock
(cost
$1,561,987,834)
2,381,235,058
Shares
Collateral
Held
for
Securities
Loaned
(
1.5%
)
Value
36,834,975
Thrivent
Cash
Management
Trust
36,834,975
Total
Collateral
Held
for
Securities
Loaned
(cost
$36,834,975)
36,834,975
Shares
Short-Term
Investments
(
3.2%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
7,950,144
0.180%
79,501,440
Total
Short-Term
Investments
(cost
$79,472,453)
79,501,440
Total
Investments
(cost
$1,678,295,262)
101.5%
$2,497,571,473
Other
Assets
and
Liabilities,
Net
(1.5%)
(36,080,538)
Total
Net
Assets
100.0%
$2,461,490,935
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
Mid
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
190
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
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
36,166,787
Total
lending
$36,166,787
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$36,834,975
Net
amounts
due
to
counterparty
$668,188
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
March
31,
2021,
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
62,555,321
62,555,321
Consumer
Discretionary
346,240,909
346,240,909
Consumer
Staples
87,549,462
87,549,462
Energy
54,346,403
54,346,403
Financials
422,564,486
422,564,486
Health
Care
212,830,283
212,830,283
Industrials
460,521,057
460,521,057
Information
Technology
321,051,025
321,051,025
Materials
83,291,492
83,291,492
Real
Estate
178,424,422
178,424,422
Utilities
151,860,198
151,860,198
Subtotal
Investments
in
Securities
$2,381,235,058
$2,381,235,058
$–
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
79,501,440
Collateral
Held
for
Securities
Loaned
36,834,975
Subtotal
Other
Investments
$116,336,415
Total
Investments
at
Value
$2,497,571,473
*
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.  
Mid
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
191
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$54,297
$142,794
$117,590
$79,501
7,950
3.2%
Total
Affiliated
Short-Term
Investments
54,297
79,501
3.2
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
61,951
22,727
47,843
36,835
36,835
1.5
Total
Collateral
Held
for
Securities
Loaned
61,951
36,835
1.5
Total
Value
$116,248
$116,336
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$36
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$36
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
6
Total
Affiliated
Income
from
Securities
Loaned,
Net
$6
Total
Value
$–
$–
$–
Mid
Cap
Value
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
192
Shares
Common
Stock
(
95.7%
)
Value
Communications
Services
(5.6%)
4,163
Discovery,
Inc.,
Class
A
a
$
180,924
9,864
Imax
Corporation
198,266
7,873
Interpublic
Group
of
Companies,
Inc.
229,892
4,264
Playtika
Holding
Corporation
a
116,023
Total
725,105
Consumer
Discretionary
(13.1%)
989
Aptiv
plc
a
136,383
2,317
Cedar
Fair,
LP
a
115,108
2,484
Dollar
Tree,
Inc.
a
284,319
2,513
eBay,
Inc.
153,896
1,469
Lear
Corporation
266,256
1,089
Mohawk
Industries,
Inc.
a
209,426
1,502
Polaris,
Inc.
200,517
5,096
Tapestry,
Inc.
a
210,006
1,860
Wyndham
Hotels
&
Resorts,
Inc.
129,791
Total
1,705,702
Consumer
Staples
(4.5%)
8,782
Albertsons
Companies,
Inc.
b
167,473
1,201
Church
&
Dwight
Company,
Inc.
104,907
3,985
Hain
Celestial
Group,
Inc.
a
173,746
1,809
Sysco
Corporation
142,441
Total
588,567
Energy
(5.5%)
5,379
Enterprise
Products
Partners,
LP
118,445
6,664
Helmerich
&
Payne,
Inc.
179,661
2,624
Marathon
Petroleum
Corporation
140,358
1,780
Pioneer
Natural
Resources
Company
282,700
Total
721,164
Financials
(19.5%)
2,217
Capital
One
Financial
Corporation
282,069
1,677
Cboe
Global
Markets,
Inc.
165,503
2,706
Comerica,
Inc.
194,129
5,807
Equitable
Holdings,
Inc.
189,424
4,858
Hartford
Financial
Services
Group,
Inc.
324,466
1,731
Raymond
James
Financial,
Inc.
212,151
3,082
Selective
Insurance
Group,
Inc.
223,568
4,854
Trustmark
Corporation
163,386
3,232
Voya
Financial,
Inc.
205,685
4,469
Wintrust
Financial
Corporation
338,750
4,314
Zions
Bancorporations
NA
237,097
Total
2,536,228
Health
Care
(7.4%)
2,117
Acadia
Healthcare
Company,
Inc.
a
120,965
2,642
Centene
Corporation
a
168,850
1,597
Ionis
Pharmaceuticals,
Inc.
a
71,801
3,154
NuVasive
,
Inc.
a
206,776
2,354
Syneos
Health,
Inc.
a
178,551
1,357
Zimmer
Biomet
Holdings,
Inc.
217,229
Total
964,172
Industrials
(12.8%)
1,720
AGCO
Corporation
247,078
1,677
Carlisle
Companies,
Inc.
276,001
3,274
Crane
Company
307,461
1,007
JB
Hunt
Transport
Services,
Inc.
169,247
836
Lincoln
Electric
Holdings,
Inc.
102,778
Shares
Common
Stock
(95.7%)
Value
Industrials
(12.8%)
-
continued
4,881
Meritor,
Inc.
a
$
143,599
2,558
Robert
Half
International,
Inc.
199,703
3,534
Southwest
Airlines
Company
a
215,786
Total
1,661,653
Information
Technology
(9.4%)
3,819
Jabil,
Inc.
199,199
8,136
Juniper
Networks,
Inc.
206,085
5,335
NCR
Corporation
a
202,463
6,478
ON
Semiconductor
Corporation
a
269,550
1,387
PTC,
Inc.
a
190,920
2,237
Western
Digital
Corporation
149,320
Total
1,217,537
Materials
(7.5%)
9,056
Axalta
Coating
Systems,
Ltd.
a
267,877
4,932
Berry
Plastics
Group,
Inc.
a
302,825
2,724
CF
Industries
Holdings,
Inc.
123,615
1,488
LyondellBasell
Industries
NV
154,826
1,536
Nucor
Corporation
123,295
Total
972,438
Real
Estate
(6.4%)
1,173
Camden
Property
Trust
128,925
3,049
CBRE
Group,
Inc.
a
241,206
3,341
Highwoods
Properties,
Inc.
143,463
12,171
Host
Hotels
&
Resorts,
Inc.
a
205,081
3,476
Rayonier,
Inc.
REIT
112,101
Total
830,776
Utilities
(4.0%)
2,426
Alliant
Energy
Corporation
131,392
8,541
CenterPoint
Energy,
Inc.
193,454
3,348
Evergy
,
Inc.
199,306
Total
524,152
Total
Common
Stock
(cost
$10,183,435)
12,447,494
Shares
Collateral
Held
for
Securities
Loaned
(
1.3%
)
Value
171,275
Thrivent
Cash
Management
Trust
171,275
Total
Collateral
Held
for
Securities
Loaned
(cost
$171,275)
171,275
Shares
Registered
Investment
Companies
(
1.1%
)
Value
Unaffiliated  (1.1%)
3,418
Fidelity
US
Utilities
ETF
141,813
Total
141,813
Total
Registered
Investment
Companies
(cost
$133,191)
141,813
Total
Investments
(cost
$10,487,901)
98.1%
$12,760,582
Other
Assets
and
Liabilities,
Net
1.9%
240,894
Total
Net
Assets
100.0%
$13,001,476
Mid
Cap
Value
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
193
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
Value
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
162,095
Total
lending
$162,095
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$171,275
Net
amounts
due
to
counterparty
$9,180
Definitions:
ETF
-
Exchange
Traded
Fund
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
Mid
Cap
Value
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
725,105
725,105
Consumer
Discretionary
1,705,702
1,705,702
Consumer
Staples
588,567
588,567
Energy
721,164
721,164
Financials
2,536,228
2,536,228
Health
Care
964,172
964,172
Industrials
1,661,653
1,661,653
Information
Technology
1,217,537
1,217,537
Materials
972,438
972,438
Real
Estate
830,776
830,776
Utilities
524,152
524,152
Registered
Investment
Companies
Unaffiliated
141,813
141,813
Subtotal
Investments
in
Securities
$12,589,307
$12,589,307
$–
$–
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
171,275
Subtotal
Other
Investments
$171,275
Total
Investments
at
Value
$12,760,582
*
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.  
Mid
Cap
Value
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
194
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
for
the
Portfolio.
Thrivent
Cash
Management
Trust
is
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
Value
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$91
$5,253
$5,344
$–
Total
Affiliated
Short-Term
Investments
91
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
199
926
954
171
171
1.3%
Total
Collateral
Held
for
Securities
Loaned
199
171
1.3
Total
Value
$290
$171
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$0
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$0
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1
Total
Affiliated
Income
from
Securities
Loaned,
Net
$1
Total
Value
$–
$–
$–
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
195
Principal
Amount
Bank
Loans
(
1.3%
)
a
Value
Basic
Materials
(0.1%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
695,337
4.690%, 
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
690,873
Chemours
Company,
Term
Loan
982,975
1.860%, 
(LIBOR
1M
+
1.750%),
4/3/2025
b
952,670
Hexion,
Inc.,
Term
Loan
821,637
3.740%, 
(LIBOR
3M
+
3.500%),
7/1/2026
b
821,128
INEOS
US
Petrochem,
LLC,
Term
Loan
1,330,000
3.250%, 
(LIBOR
3M
+
2.750%),
1/29/2026
b
1,325,012
Innophos
Holdings,
Inc.,
Term
Loan
821,700
3.609%, 
(LIBOR
1M
+
3.500%),
2/7/2027
b
818,619
Nouryon
USA,
LLC,
Term
Loan
1,943,226
2.860%, 
(LIBOR
1M
+
2.750%),
10/1/2025
b
1,912,056
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
958,371
7.500%, 
(LIBOR
1M
+
6.500%),
10/31/2024
b
957,374
PQ
Corporation,
Term
Loan
695,462
4.000%, 
(LIBOR
3M
+
3.000%),
2/7/2027
b
695,170
Venator
Finance
SARL,
Term
Loan
937,571
3.109%, 
(LIBOR
1M
+
3.000%),
8/8/2024
b
923,901
Total
9,096,803
Capital
Goods
(0.2%)
Flex
Acquisition
Company,
Inc.,
Term
Loan
1,788,401
3.238%, 
(LIBOR
3M
+
3.250%),
6/29/2025
b
1,757,104
750,000
4.000%, 
(LIBOR
3M
+
3.500%),
3/2/2028
b
739,808
Gemini
HDPE,
LLC,
Term
Loan
1,175,000
3.500%, 
(LIBOR
3M
+
3.000%),
12/31/2027
b
1,168,396
GFL
Environmental,
Inc.,
Term
Loan
1,221,938
3.500%, 
(LIBOR
1M
+
3.000%),
5/31/2025
b
1,221,937
Graham
Packaging
Company,
Inc.,
Term
Loan
1,240,000
3.750%, 
(LIBOR
1M
+
3.000%),
8/4/2027
b
1,231,407
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
1,266,506
3.443%, 
(LIBOR
3M
+
3.250%),
4/3/2024
b
1,238,010
MI
Windows
and
Doors,
Inc.,
Term
Loan
1,102,238
4.500%, 
(LIBOR
1M
+
3.750%),
12/18/2027
b
1,105,687
Pactiv
Evergreen
Group
Holdings,
Inc.,
Term
Loan
290,549
2.859%, 
(LIBOR
1M
+
2.750%),
2/5/2023
b
289,143
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Capital
Goods
(0.2%)
-
continued
$
997,500
3.359%, 
(LIBOR
1M
+
3.250%),
2/5/2026
b
$
985,530
TransDigm,
Inc.,
Term
Loan
2,881,068
2.359%, 
(LIBOR
1M
+
2.250%),
12/9/2025
b
2,818,636
TricorBraun
Holdings,
Inc.,
Delayed
Draw
284,621
0.000%, 
(LIBOR
1M
+
3.250%),
3/3/2028
b,c,d
281,656
TricorBraun
Holdings,
Inc.,
Term
Loan
1,265,379
0.000%, 
(LIBOR
3M
+
3.250%),
3/3/2028
b,c,d
1,252,194
Vertiv
Group
Corporation,
Term
Loan
4,284,263
2.869%, 
(LIBOR
3M
+
2.750%),
3/2/2027
b
4,247,675
Total
18,337,183
Communications
Services
(0.3%)
Altice
France
SA,
Term
Loan
851,812
2.859%, 
(LIBOR
1M
+
2.750%),
7/31/2025
b
834,316
Cablevision
Lightpath,
LLC,
Term
Loan
1,172,063
3.750%, 
(LIBOR
1M
+
3.250%),
12/1/2027
b
1,169,132
CCI
Buyer,
Inc.,
Term
Loan
300,000
4.750%, 
(LIBOR
3M
+
4.000%),
12/17/2027
b
300,282
CommScope,
Inc.,
Term
Loan
1,563,098
3.359%, 
(LIBOR
1M
+
3.250%),
4/4/2026
b
1,551,453
Diamond
Sports
Group,
LLC,
Term
Loan
1,232,292
3.360%, 
(LIBOR
1M
+
3.250%),
8/24/2026
b
841,039
E.W.
Scripps
Company,
Term
Loan
1,147,125
3.750%, 
(LIBOR
1M
+
3.000%),
1/7/2028
b
1,141,929
Eagle
Broadband
Investments,
LLC,
Term
Loan
1,955,100
3.750%, 
(LIBOR
3M
+
3.000%),
11/12/2027
b
1,948,590
Entercom
Media
Corporation,
Term
Loan
1,108,994
2.609%, 
(LIBOR
1M
+
2.500%),
11/17/2024
b
1,083,210
GCI,
LLC,
Term
Loan
1,466,677
3.500%, 
(LIBOR
1M
+
2.750%),
10/15/2025
b,c,d
1,458,127
HCP
Acquisition,
LLC,
Term
Loan
1,540,133
3.750%, 
(LIBOR
1M
+
2.750%),
5/16/2024
b
1,536,745
iHeartCommunications,
Inc.,
Term
Loan
955,326
3.109%, 
(LIBOR
1M
+
3.000%),
5/1/2026
b
942,935
Intermediate
Dutch
Holdings,
Term
Loan
1,095,000
0.000%, 
(LIBOR
1M
+
4.000%),
3/5/2028
b,c,d
1,090,072
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
196
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Communications
Services
(0.3%)
-
continued
Lumen
Technologies,
Inc.,
Term
Loan
$
1,437,252
2.359%, 
(LIBOR
1M
+
2.250%),
3/15/2027
b,c,d
$
1,420,451
Meredith
Corporation,
Term
Loan
1,009,912
5.250%, 
(LIBOR
3M
+
4.250%),
1/31/2025
b
1,024,011
NEP
Group,
Inc.,
Term
Loan
1,324,512
3.359%, 
(LIBOR
1M
+
3.250%),
10/20/2025
b
1,282,380
195,000
7.109%, 
(LIBOR
1M
+
7.000%),
10/19/2026
b
178,587
Nexstar
Broadcasting,
Inc.,
Term
Loan
1,863,576
2.615%, 
(LIBOR
1M
+
2.500%),
9/19/2026
b
1,847,978
Nielsen
Finance,
LLC,
Term
Loan
528,212
4.750%, 
(LIBOR
1M
+
3.750%),
6/4/2025
b
529,120
Peraton
Corporation,
Delayed
Draw
1,020,000
0.000%, 
(LIBOR
1M
+
3.750%),
2/1/2028
b,c,d
1,019,153
Peraton
Corporation,
Term
Loan
580,000
4.500%, 
(LIBOR
3M
+
3.750%),
2/1/2028
b
579,519
Radiate
Holdco,
LLC,
Term
Loan
2,778,038
4.250%, 
(LIBOR
1M
+
3.500%),
9/25/2026
b
2,775,204
Terrier
Media
Buyer,
Inc.,
Term
Loan
1,625,925
3.609%, 
(LIBOR
1M
+
3.500%),
12/17/2026
b
1,609,893
TNS,
Inc.,
Term
Loan
1,477,013
4.110%, 
(LIBOR
1M
+
4.000%),
8/14/2022
b
1,469,007
WideOpenWest
Finance,
LLC,
Term
Loan
1,506,148
4.250%, 
(LIBOR
1M
+
3.250%),
8/19/2023
b
1,500,786
Xplornet
Communications,
Inc.,
Term
Loan
1,206,261
4.859%, 
(LIBOR
1M
+
4.750%),
6/10/2027
b
1,205,320
Ziggo
Financing
Partnership,
Term
Loan
785,000
2.606%, 
(LIBOR
1M
+
2.500%),
4/30/2028
b,c,d
776,436
Total
31,115,675
Consumer
Cyclical
(0.2%)
1011778
B.C.,
LLC,
Term
Loan
1,714,359
1.859%, 
(LIBOR
1M
+
1.750%),
11/19/2026
b,c,d
1,681,684
Caesars
Resort
Collection,
LLC,
Term
Loan
1,557,175
4.609%, 
(LIBOR
1M
+
4.500%),
7/20/2025
b
1,559,121
Carnival
Corporation,
Term
Loan
781,065
8.500%, 
(LIBOR
1M
+
7.500%),
6/30/2025
b
804,497
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Consumer
Cyclical
(0.2%)
-
continued
Cengage
Learning,
Inc.,
Term
Loan
$
771,207
5.250%, 
(LIBOR
3M
+
4.250%),
6/7/2023
b
$
762,053
City
Brewing
Company,
LLC,
Term
Loan
220,000
0.000%, 
(LIBOR
1M
+
3.500%),
4/1/2028
b,c,d
218,900
CP
Atlas
Buyer,
Inc.,
Term
Loan
1,065,000
4.250%, 
(LIBOR
2M
+
3.750%),
11/23/2027
b
1,057,183
Golden
Entertainment,
Inc.,
Term
Loan
2,692,350
3.750%, 
(LIBOR
1M
+
3.000%),
10/20/2024
b
2,651,965
Golden
Nugget,
LLC,
Term
Loan
813,492
3.250%, 
(LIBOR
2M
+
2.500%),
10/4/2023
b
799,866
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
1,516,200
3.750%, 
(LIBOR
1M
+
3.000%),
10/19/2027
b
1,513,441
LCPR
Loan
Financing,
LLC,
Term
Loan
1,070,000
0.000%, 
(LIBOR
3M
+
3.750%),
10/23/2026
b,c,d
1,071,337
Michaels
Stores,
Inc.,
Term
Loan
1,109,425
4.250%, 
(LIBOR
1M
+
3.500%),
10/1/2027
b
1,107,761
Penn
National
Gaming,
Inc.,
Term
Loan
1,668,051
3.000%, 
(LIBOR
1M
+
2.250%),
10/15/2025
b
1,658,927
Scientific
Games
International,
Inc.,
Term
Loan
5,236,131
2.859%, 
(LIBOR
1M
+
2.750%),
8/14/2024
b
5,131,042
Staples,
Inc.,
Term
Loan
273,413
4.705%, 
(LIBOR
3M
+
4.500%),
9/12/2024
b
268,513
886,652
5.205%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
863,750
Stars
Group
Holdings
BV,
Term
Loan
1,416,960
3.703%, 
(LIBOR
3M
+
3.500%),
7/10/2025
b
1,417,753
Tenneco,
Inc.,
Term
Loan
1,167,092
3.109%, 
(LIBOR
1M
+
3.000%),
10/1/2025
b
1,135,288
Truck
Hero,
Inc.,
Term
Loan
285,000
4.500%, 
(LIBOR
1M
+
3.750%),
2/24/2028
b
284,091
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
901,875
1.859%, 
(LIBOR
1M
+
1.750%),
5/30/2025
b
891,603
Total
24,878,775
Consumer
Non-Cyclical
(0.2%)
Adient
US,
LLC,
Term
Loan
935,241
4.380%, 
(LIBOR
1M
+
4.250%),
5/6/2024
b
934,071
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
197
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Consumer
Non-Cyclical
(0.2%)
-
continued
Bausch
Health
Americas,
Inc.,
Term
Loan
$
2,421,775
3.109%, 
(LIBOR
1M
+
3.000%),
6/1/2025
b
$
2,412,596
Bellring
Brands,
LLC,
Term
Loan
1,148,068
4.750%, 
(LIBOR
1M
+
4.000%),
10/21/2024
b
1,153,326
Chobani,
LLC,
Term
Loan
601,975
4.500%, 
(LIBOR
1M
+
3.500%),
10/23/2027
b
601,072
CNT
Holdings
I
Corporation,
Term
Loan
785,000
4.500%, 
(LIBOR
3M
+
3.750%),
11/8/2027
b
782,794
220,000
7.500%, 
(LIBOR
3M
+
6.750%),
11/6/2028
b,e
222,200
Dole
Food
Company,
Inc.,
Term
Loan
1,624,708
3.754%, 
(LIBOR
1M
+
2.750%),
4/6/2024
b
1,623,132
Endo
Luxembourg
Finance
Company,
Term
Loan
1,880,000
0.000%, 
(LIBOR
1M
+
5.000%),
3/25/2028
b,c,d
1,858,850
Gainwell
Acquistion
Corporation,
Term
Loan
2,170,000
0.000%, 
(LIBOR
1M
+
4.000%),
10/1/2027
b,c,d
2,159,150
Global
Medical
Response,
Inc.,
Term
Loan
3,950,100
5.750%, 
(LIBOR
3M
+
4.750%),
10/2/2025
b
3,934,300
MPH
Acquisition
Holdings,
LLC,
Term
Loan
3,628,118
3.750%, 
(LIBOR
3M
+
2.750%),
6/7/2023
b
3,606,277
Ortho-Clinical
Diagnostics
SA,
Term
Loan
2,469,474
3.359%, 
(LIBOR
1M
+
3.250%),
6/30/2025
b
2,463,918
Petco
Health
&
Wellness
Company,
Inc.,
Term
Loan
1,390,000
0.000%, 
(LIBOR
1M
+
3.250%),
3/4/2028
b,c,d
1,383,703
PetSmart,
Inc.,
Term
Loan
1,970,000
4.500%, 
(LIBOR
3M
+
3.750%),
2/12/2028
b
1,965,469
Plantronics,
Inc.,
Term
Loan
474,434
2.650%, 
(LIBOR
1M
+
2.500%),
7/2/2025
b
467,659
Precision
Medicine
Group,
LLC,
Delayed
Draw
161,538
0.000%, 
(LIBOR
1M
+
3.000%),
11/20/2027
b,c,d
160,227
Precision
Medicine
Group,
LLC,
Term
Loan
1,235,365
3.750%, 
(LIBOR
3M
+
3.750%),
11/20/2027
b
1,225,334
Sotera
Health
Holdings,
LLC,
Term
Loan
802,000
3.250%, 
(LIBOR
3M
+
2.750%),
12/13/2026
b
798,992
Total
27,753,070
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Energy
(<0.1%)
Calpine
Corporation,
Term
Loan
$
1,516,200
2.610%, 
(LIBOR
1M
+
2.500%),
12/16/2027
b
$
1,505,647
Energizer
Holdings,
Inc.,
Term
Loan
315,000
2.750%, 
(LIBOR
1M
+
2.250%),
12/22/2027
b
313,293
Lealand
Finance
Company
BV,
Term
Loan
362,609
0.000%,PIK
3.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b,f
197,016
Total
2,015,956
Financials
(0.1%)
Asurion,
LLC,
Term
Loan
1,695,750
3.359%, 
(LIBOR
1M
+
3.250%),
12/23/2026
b
1,683,948
600,000
3.359%, 
(LIBOR
1M
+
3.250%),
8/3/2027
b,c,d
595,374
1,095,000
5.359%, 
(LIBOR
1M
+
5.250%),
2/3/2028
b
1,114,162
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
748,057
2.500%, 
(LIBOR
1M
+
1.750%),
1/15/2025
b
744,923
Digicel
International
Finance,
Ltd.,
Term
Loan
1,017,365
3.510%, 
(LIBOR
3M
+
3.250%),
5/27/2024
b
964,798
MoneyGram
International,
Inc.,
Term
Loan
1,164,263
7.000%, 
(LIBOR
3M
+
6.000%),
6/30/2023
b
1,163,680
Newco
Financing
Partnership,
Term
Loan
225,000
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,c,d
224,278
Northriver
Midstream
Finance,
LP,
Term
Loan
1,125,606
3.488%, 
(LIBOR
3M
+
3.250%),
10/1/2025
b
1,108,902
Tronox
Finance,
LLC,
Term
Loan
1,020,000
2.648%, 
(LIBOR
3M
+
2.500%),
3/11/2028
b
1,013,839
UPC
Financing
Partnership,
Term
Loan
225,000
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,c,d
224,278
Total
8,838,182
Technology
(0.1%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
1,316,013
3.712%, 
(LIBOR
3M
+
3.500%),
8/21/2026
b
1,262,281
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
2,975,000
3.609%, 
(LIBOR
1M
+
3.500%),
6/30/2027
b
2,958,875
Prime
Security
Services
Borrower,
LLC,
Term
Loan
3,705,000
3.500%, 
(LIBOR
1M
+
2.750%),
9/23/2026
b
3,687,624
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
198
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Technology
(0.1%)
-
continued
Rackspace
Technology
Global,
Inc.,
Term
Loan
$
2,385,000
3.500%, 
(LIBOR
3M
+
2.750%),
2/9/2028
b
$
2,361,889
SS&C
Technologies,
Inc.,
Term
Loan
93,267
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,c,d
92,187
71,696
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,c,d
70,867
Verscend
Holding
Corporation,
Term
Loan
540,000
0.000%, 
(LIBOR
1M
+
4.000%),
8/27/2025
b,c,d
539,390
Zayo
Group
Holdings,
Inc.,
Term
Loan
2,550,046
0.000%, 
(LIBOR
1M
+
3.000%),
3/9/2027
b
2,527,682
Total
13,500,795
Transportation
(0.1%)
American
Airlines,
Inc.,
Term
Loan
2,850,000
0.000%, 
(LIBOR
1M
+
4.750%),
3/24/2028
b,c,d
2,916,804
Genesee
&
Wyoming,
Inc.,
Term
Loan
1,643,400
2.203%, 
(LIBOR
3M
+
2.000%),
12/30/2026
b
1,636,728
Mileage
Plus
Holdings,
LLC,
Term
Loan
900,000
6.250%, 
(LIBOR
3M
+
5.250%),
6/20/2027
b
955,269
SkyMiles
IP,
Ltd.,
Term
Loan
965,000
4.750%, 
(LIBOR
3M
+
3.750%),
10/20/2027
b
1,012,285
United
Airlines,
Inc.,
Term
Loan
1,228,998
1.865%, 
(LIBOR
1M
+
1.750%),
4/1/2024
b
1,191,906
Total
7,712,992
Utilities
(<0.1%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
283,246
2.375%, 
(LIBOR
1M
+
2.250%),
9/24/2026
b
283,246
Core
and
Main,
LP,
Term
Loan
1,697,364
3.750%, 
(LIBOR
3M
+
2.750%),
8/1/2024
b
1,689,217
EnergySolutions,
LLC,
Term
Loan
1,011,400
4.750%, 
(LIBOR
3M
+
3.750%),
5/11/2025
b
1,005,079
Exgen
Renewables
IV,
LLC,
Term
Loan
1,561,088
3.750%, 
(LIBOR
3M
+
3.000%),
12/11/2027
b,c,d
1,561,743
PG&E
Corporation,
Term
Loan
2,124,648
3.500%, 
(LIBOR
3M
+
3.000%),
6/23/2025
b
2,119,995
Total
6,659,280
Total
Bank
Loans
(cost
$149,953,435)
149,908,711
Shares
Registered
Investment
Companies
(
40.6%
)
Value
Unaffiliated  (0.8%)
1,260,400
Invesco
Senior
Loan
ETF
$
27,892,652
21,017
ProShares
Ultra
S&P
500
g
2,150,249
1,458
ProShares
UltraPro
QQQ
133,057
177,055
SPDR
Bloomberg
Barclays
Short
Term
High
Yield
Bond
ETF
4,838,913
119,611
SPDR
S&P
500
ETF
Trust
47,405,428
15,418
SPDR
S&P
Oil
&
Gas
Exploration
ETF
g
1,254,100
Total
83,674,399
Affiliated  (39.8%)
25,514,609
Thrivent
Core
Emerging
Markets
Debt
Fund
246,726,264
6,661,625
Thrivent
Core
Emerging
Markets
Equity
Fund
81,738,136
2,288,539
Thrivent
Core
International
Equity
Fund
23,251,551
21,289,214
Thrivent
Core
Low
Volatility
Equity
Fund
276,759,787
30,844,699
Thrivent
Global
Stock
Portfolio
459,721,727
44,089,500
Thrivent
High
Yield
Portfolio
204,094,705
59,894,787
Thrivent
Income
Portfolio
654,548,197
52,944,850
Thrivent
International
Allocation
Portfolio
559,166,441
4,741,640
Thrivent
International
Index
Portfolio
62,009,274
37,121,101
Thrivent
Large
Cap
Value
Portfolio
808,995,007
34,658,329
Thrivent
Limited
Maturity
Bond
Portfolio
348,628,136
21,359,982
Thrivent
Mid
Cap
Stock
Portfolio
530,932,251
6,427,004
Thrivent
Small
Cap
Stock
Portfolio
153,587,394
Total
4,410,158,870
Total
Registered
Investment
Companies
(cost
$3,481,469,177)
4,493,833,269
Shares
Common
Stock
(
28.5%
)
Value
Communications
Services
(2.4%)
134,391
Activision
Blizzard,
Inc.
12,498,363
37,462
Alphabet,
Inc.,
Class
A
h
77,266,124
4,806
Alphabet,
Inc.,
Class
C
h
9,941,836
48,501
AMC
Networks,
Inc.
h
2,578,313
24,147
ANGI
Homeservices,
Inc.
h
313,911
115,463
AT&T,
Inc.
3,495,065
3,791
Cardlytics,
Inc.
h
415,873
15,655
Cars.com
Inc.
h
202,889
5,539
Charter
Communications,
Inc.
h
3,417,674
137,461
Comcast
Corporation
7,438,015
8,755
Consolidated
Communications
Holdings,
Inc.
h
63,036
28,833
Discovery,
Inc.,
Class
A
g,h
1,253,082
33,550
DISH
Network
Corporation
h
1,214,510
13,751
EchoStar
Corporation
h
330,024
50,016
Entercom
Communications
Corporation
h
262,584
164,591
Facebook,
Inc.
h
48,476,987
46,987
Gannett
Company,
Inc.
h
252,790
15,244
Gray
Television,
Inc.
280,489
7,769
Hemisphere
Media
Group,
Inc.
h
90,509
47,295
Interpublic
Group
of
Companies,
Inc.
1,381,014
163,981
Live
Nation
Entertainment,
Inc.
h
13,880,992
71,235
Lumen
Technologies,
Inc.
950,987
55,309
Match
Group,
Inc.
h
7,598,350
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
199
Shares
Common
Stock
(28.5%)
Value
Communications
Services
(2.4%)
-
continued
6,462
Omnicom
Group,
Inc.
$
479,157
116,426
QuinStreet,
Inc.
h
2,363,448
20,932
RingCentral,
Inc.
h
6,235,224
274
Roku,
Inc.
h
89,261
5,717
Scholastic
Corporation
172,139
14,887
Take-Two
Interactive
Software,
Inc.
h
2,630,533
32,984
Telephone
&
Data
Systems,
Inc.
757,313
298,120
Twitter,
Inc.
h
18,969,375
400,381
Uber
Technologies,
Inc.
h
21,824,768
5,365
United
States
Cellular
Corporation
h
195,715
121,812
Verizon
Communications,
Inc.
7,083,368
32,632
Walt
Disney
Company
h
6,021,257
14,386
WideOpenWest,
Inc.
h
195,506
11,378
Windstream
Services,
LLC,
Warrants
(Expires
12/31/2049)
h
146,014
11,910
Zillow
Group,
Inc.
h
1,564,736
Total
262,331,231
Consumer
Discretionary
(4.3%)
5,703
Aaron's
Company,
Inc.
146,453
19,446
Adient
plc
h
859,513
39,110
Amazon.com,
Inc.
h
121,009,469
56,804
American
Axle
&
Manufacturing
Holdings,
Inc.
h
548,727
18,685
American
Eagle
Outfitters,
Inc.
g
546,349
158,163
Aptiv
plc
h
21,810,678
62,629
At
Home
Group,
Inc.
h
1,797,452
7,928
AutoNation,
Inc.
h
739,048
2,467
AutoZone,
Inc.
h
3,464,408
31,914
Bally's
Corporation
h
2,073,772
10,760
Beazer
Homes
USA,
Inc.
h
225,099
12,155
Bed
Bath
&
Beyond,
Inc.
h
354,318
14,595
Big
5
Sporting
Goods
Corporation
g
229,141
12,533
Big
Lots,
Inc.
856,004
16,280
BJ's
Restaurants,
Inc.
h
945,542
7,081
Booking
Holdings,
Inc.
h
16,497,597
14,933
Bright
Horizons
Family
Solutions,
Inc.
h
2,560,263
7,317
Brinker
International,
Inc.
h
519,946
3,500
Brunswick
Corporation
333,795
16,713
Burlington
Stores,
Inc.
h
4,993,844
68,764
Caesars
Entertainment,
Inc.
h
6,013,412
3,974
Camping
World
Holdings,
Inc.
144,574
16,766
Carnival
Corporation
h
444,970
27,974
Carvana
Company
h
7,340,378
457
Cavco
Industries,
Inc.
h
103,104
39,004
Cedar
Fair,
LP
h
1,937,719
4,109
Century
Casinos,
Inc.
h
42,199
36,803
Chegg,
Inc.
h
3,152,545
58,381
Chewy,
Inc.
g,h
4,945,454
138,586
Chico's
FAS,
Inc.
h
458,720
16,253
Children's
Place,
Inc.
h
1,132,834
14,564
Chipotle
Mexican
Grill,
Inc.
h
20,692,822
29,511
Choice
Hotels
International,
Inc.
3,166,235
1,928
Churchill
Downs,
Inc.
438,466
169,762
Cooper-Standard
Holdings,
Inc.
h
6,165,756
5,590
Cracker
Barrel
Old
Country
Store,
Inc.
966,399
21,273
Crocs,
Inc.
h
1,711,413
33,393
Culp,
Inc.
513,918
27,021
D.R.
Horton,
Inc.
2,408,111
29,962
Dana,
Inc.
728,975
10,817
Darden
Restaurants,
Inc.
1,536,014
4,796
Deckers
Outdoor
Corporation
h
1,584,694
Shares
Common
Stock
(28.5%)
Value
Consumer
Discretionary
(4.3%)
-
continued
27,578
Designer
Brands,
Inc.
h
$
479,857
27,062
Dick's
Sporting
Goods,
Inc.
2,060,771
12,853
Dillard's,
Inc.
1,241,214
13,687
Domino's
Pizza,
Inc.
5,033,942
8,338
Dorman
Products,
Inc.
h
855,812
269,784
Duluth
Holdings,
Inc.
g,h
4,570,141
48,719
Emerald
Holding,
Inc.
h
268,929
7,115
Ethan
Allen
Interiors,
Inc.
196,445
6,007
Etsy,
Inc.
h
1,211,432
9,072
Expedia
Group,
Inc.
h
1,561,473
42,778
Farfetch,
Ltd.
g,h
2,268,090
32,502
Five
Below,
Inc.
h
6,201,057
11,008
Foot
Locker,
Inc.
619,200
2,184
Fox
Factory
Holding
Corporation
h
277,499
78,788
Gap,
Inc.
h
2,346,307
6,143
Garmin,
Ltd.
809,955
89,702
Gentex
Corporation
3,199,670
10,510
Genuine
Parts
Company
1,214,851
13,227
G-III
Apparel
Group,
Ltd.
h
398,662
19,419
Goodyear
Tire
&
Rubber
Company
h
341,192
480
Graham
Holdings
Company
269,971
6,576
Grand
Canyon
Education,
Inc.
h
704,290
8,537
Group
1
Automotive,
Inc.
1,347,053
30,781
Guess
?,
Inc.
723,353
52,697
Hanesbrands,
Inc.
1,036,550
46,022
Harley-Davidson,
Inc.
1,845,482
5,148
Helen
of
Troy,
Ltd.
h
1,084,478
30,480
Home
Depot,
Inc.
9,304,020
30,477
IAA,
Inc.
h
1,680,502
8,307
KB
Home
386,525
21,090
Knoll,
Inc.
348,196
108,814
Kohl's
Corporation
6,486,403
43,810
L
Brands,
Inc.
h
2,710,087
25,314
Lear
Corporation
4,588,162
52,081
Leggett
&
Platt,
Inc.
2,377,498
18,405
Lithia
Motors,
Inc.
7,179,606
39,122
Lowe's
Companies,
Inc.
7,440,222
7,187
Lululemon
Athletica,
Inc.
h
2,204,325
5,884
M.D.C.
Holdings,
Inc.
349,510
6,874
M/I
Homes,
Inc.
h
406,047
240,593
Macy's,
Inc.
h
3,895,201
37,355
Magnite,
Inc.
h
1,554,342
3,304
Marriott
Vacations
Worldwide
Corporation
h
575,491
92,508
Mattel,
Inc.
h
1,842,759
19,989
McDonald's
Corporation
4,480,334
1,629
Mercadolibre,
Inc.
h
2,398,116
9,732
Meritage
Homes
Corporation
h
894,565
35,911
Miller
Industries,
Inc.
1,658,729
8,954
Mohawk
Industries,
Inc.
h
1,721,944
7,123
Nautilus,
Inc.
h
111,404
35,106
NIKE,
Inc.
4,665,236
5,175
Noodles
&
Company
h
53,561
102,148
Nordstrom,
Inc.
h
3,868,345
60,743
Norwegian
Cruise
Line
Holdings,
Ltd.
g,h
1,675,899
2,321
NVR,
Inc.
h
10,934,068
27,925
Ollie's
Bargain
Outlet
Holdings,
Inc.
h
2,429,475
26,929
Overstock.com,
Inc.
h
1,784,316
59,754
Park
Hotels
&
Resorts,
Inc.
h
1,289,491
22,939
Penn
National
Gaming,
Inc.
h
2,404,925
89,558
Planet
Fitness,
Inc.
h
6,922,833
27,541
Playa
Hotels
and
Resorts
NV
h
201,049
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
200
Shares
Common
Stock
(28.5%)
Value
Consumer
Discretionary
(4.3%)
-
continued
6,278
Pool
Corporation
$
2,167,417
29,852
PulteGroup,
Inc.
1,565,439
8,435
Purple
Innovation,
Inc.
h
266,968
1,817
PVH
Corporation
h
192,057
157,555
Qurate
Retail,
Inc.
1,852,847
869
Revolve
Group,
Inc.
h
39,044
2,268
RH
h
1,353,089
22,619
Ross
Stores,
Inc.
2,712,244
5,911
Royal
Caribbean
Cruises,
Ltd.
h
506,041
37,805
Ruth's
Hospitality
Group,
Inc.
h
938,698
79,055
Skyline
Corporation
h
3,578,029
13,304
Sleep
Number
Corporation
h
1,908,991
36,176
Sony
Corporation
ADR
3,835,018
18,750
Standard
Motor
Products,
Inc.
779,625
5,004
Stitch
Fix,
Inc.
h
247,898
50,450
Stoneridge,
Inc.
h
1,604,814
3,608
Strategic
Education,
Inc.
331,611
114,313
Taylor
Morrison
Home
Corporation
h
3,521,983
60,146
Tenneco,
Inc.
h
644,765
48,056
Tesla,
Inc.
h
32,098,044
18,364
Texas
Roadhouse,
Inc.
h
1,761,842
4,390
Thor
Industries,
Inc.
591,509
48,201
Toll
Brothers,
Inc.
2,734,443
2,723
TopBuild
Corporation
h
570,278
36,501
Tri
Pointe
Homes,
Inc.
h
743,160
25,830
TripAdvisor,
Inc.
h
1,389,396
57,944
Tupperware
Brands
Corporation
h
1,530,301
12,942
Ulta
Beauty,
Inc.
h
4,001,278
6,386
Vail
Resorts,
Inc.
h
1,862,541
1,857
Whirlpool
Corporation
409,190
2,843
Williams-Sonoma,
Inc.
509,466
29,651
Wingstop,
Inc.
3,770,718
114
Winmark
Corporation
21,253
17,532
Workhorse
Group,
Inc.
g,h
241,416
41,836
Wyndham
Hotels
&
Resorts,
Inc.
2,919,316
5,047
YETI
Holdings,
Inc.
h
364,444
40,912
Zumiez,
Inc.
h
1,755,125
Total
474,451,290
Consumer
Staples
(0.7%)
12,122
Altria
Group,
Inc.
620,162
102,628
BJ's
Wholesale
Club
Holdings,
Inc.
h
4,603,892
1,193
Boston
Beer
Company,
Inc.
h
1,439,092
2,323
Casey's
General
Stores,
Inc.
502,209
236
Church
&
Dwight
Company,
Inc.
20,615
35,528
Colgate-Palmolive
Company
2,800,672
16,772
Costco
Wholesale
Corporation
5,911,795
78,189
Coty,
Inc.
h
704,483
20,503
Darling
Ingredients,
Inc.
h
1,508,611
194,574
e.l.f.
Beauty,
Inc.
h
5,220,420
1,841
Edgewell
Personal
Care
Company
72,904
7,511
Flowers
Foods,
Inc.
178,762
59,021
Hain
Celestial
Group,
Inc.
h
2,573,316
4,582
Hershey
Company
724,689
4,554
Ingredion,
Inc.
409,496
11,781
John
B.
Sanfilippo
&
Son,
Inc.
1,064,649
12,326
Kimberly-Clark
Corporation
1,713,930
84,704
Lamb
Weston
Holdings,
Inc.
6,562,866
2,514
Medifast,
Inc.
532,515
46,544
Monster
Beverage
Corporation
h
4,239,693
28,734
NewAge,
Inc.
g,h
82,179
3,564
PepsiCo,
Inc.
504,128
8,371
Performance
Food
Group
Company
h
482,253
Shares
Common
Stock
(28.5%)
Value
Consumer
Staples
(0.7%)
-
continued
106,221
Philip
Morris
International,
Inc.
$
9,426,052
249
PriceSmart,
Inc.
24,091
151,199
Primo
Water
Corporation
2,458,496
27,803
Procter
&
Gamble
Company
3,765,360
8,220
Seneca
Foods
Corporation
h
387,080
2,638
Spectrum
Brands
Holdings,
Inc.
224,230
2,648
Tootsie
Roll
Industries,
Inc.
g
87,728
144,947
Turning
Point
Brands,
Inc.
7,561,885
3,425
United
Natural
Foods,
Inc.
h
112,819
9,903
US
Foods
Holding
Corporation
h
377,502
6,875
Utz
Brands,
Inc.
170,431
8,600
Vector
Group,
Ltd.
119,970
53,331
Wal-Mart
Stores,
Inc.
7,243,950
201
WD-40
Company
61,542
Total
74,494,467
Energy
(0.5%)
46,189
Antero
Midstream
Corporation
417,087
225,309
Antero
Resources
Corporation
h
2,298,152
128,754
Archrock,
Inc.
1,221,876
3,208
Bonanza
Creek
Energy,
Inc.
h
114,622
90,925
BP
plc
ADR
2,214,024
216,392
Centennial
Resource
Development,
Inc.
g,h
908,846
12,828
Chevron
Corporation
1,344,246
71,478
Cimarex
Energy
Company
4,245,078
6,587
Clean
Energy
Fuels
Corporation
h
90,505
38,503
CNX
Resources
Corporation
h
565,994
45,848
ConocoPhillips
2,428,569
9,647
CONSOL
Energy,
Inc.
h
93,769
31,573
Continental
Resources,
Inc.
h
816,794
43,001
Core
Laboratories
NV
1,237,999
317,046
Devon
Energy
Corporation
6,927,455
34,568
Diamondback
Energy,
Inc.
2,540,402
17,820
Dorian
LPG,
Ltd.
h
233,977
129,692
EnLink
Midstream,
LLC
556,379
75,620
Enterprise
Products
Partners,
LP
1,665,152
34,601
EOG
Resources,
Inc.
2,509,611
4,618
Evolution
Petroleum
Corporation
15,609
51,881
Exterran
Corporation
h
174,320
33,099
Exxon
Mobil
Corporation
1,847,917
96,402
Gevo,
Inc.
g,h
945,704
68,722
Gran
Tierra
Energy,
Inc.
g,h
48,092
95,451
Halliburton
Company
2,048,378
89,913
Helix
Energy
Solutions
Group,
Inc.
h
454,061
108,411
Helmerich
&
Payne,
Inc.
2,922,761
27,021
HollyFrontier
Corporation
966,811
215,634
Kinder
Morgan,
Inc.
3,590,306
26,482
Liberty
Oilfield
Services,
Inc.
h
298,982
146,986
Marathon
Oil
Corporation
1,569,811
44,525
Marathon
Petroleum
Corporation
2,381,642
150,030
McDermott
International,
Inc.
h
120,024
2,860
Nabors
Industries,
Ltd.
h
267,267
148,098
Nine
Energy
Service,
Inc.
h
340,625
66,999
Occidental
Petroleum
Corporation
1,783,513
34,421
Oceaneering
International,
Inc.
h
393,088
124,475
Patterson-UTI
Energy,
Inc.
887,507
19,415
Pioneer
Natural
Resources
Company
3,083,490
26,353
Plains
GP
Holdings,
LP
h
247,718
38,632
ProPetro
Holding
Corporation
h
411,817
4,179
Renewable
Energy
Group,
Inc.
h
275,981
32,865
Ring
Energy,
Inc.
g,h
75,918
50,379
Talos
Energy,
Inc.
h
606,563
18,888
Targa
Resources
Corporation
599,694
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
201
Shares
Common
Stock
(28.5%)
Value
Energy
(0.5%)
-
continued
264,148
Transocean,
Ltd.
g,h
$
937,725
2,087
TravelCenters
of
America,
Inc.
h
56,620
15,362
Valero
Energy
Corporation
1,099,919
Total
60,882,400
Financials
(3.8%)
808
1st
Source
Corporation
38,445
14,275
AG
Mortgage
Investment
Trust,
Inc.
57,528
80,244
Air
Lease
Corporation
3,931,956
5,500
Alleghany
Corporation
h
3,444,595
51,567
Ally
Financial,
Inc.
2,331,344
66,328
American
Equity
Investment
Life
Holding
Company
2,091,322
96,282
American
Express
Company
13,618,126
40,347
American
Financial
Group,
Inc.
4,603,593
803
American
National
Group,
Inc.
86,620
3,754
Ameriprise
Financial,
Inc.
872,617
41,700
Ameris
Bancorp
2,189,667
165,784
Annaly
Capital
Management,
Inc.
1,425,742
73,237
Apollo
Commercial
Real
Estate
Finance,
Inc.
1,023,121
84,168
Arch
Capital
Group,
Ltd.
h
3,229,526
8,979
Argo
Group
International
Holdings,
Ltd.
451,823
46,721
Arthur
J.
Gallagher
&
Company
5,829,379
25,253
Artisan
Partners
Asset
Management,
Inc.
1,317,449
123,689
Associated
Banc-Corp
2,639,523
108,195
Assured
Guaranty,
Ltd.
4,574,485
14,575
Bancorp,
Inc.
h
301,994
235,308
Bank
of
America
Corporation
9,104,067
6,324
Bank
of
Marin
Bancorp
247,648
40,762
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
1,557,924
33,146
BankFinancial
Corporation
342,067
44,309
Banner
Corporation
2,362,999
17,729
Berkshire
Hathaway,
Inc.
h
4,529,228
95,632
Berkshire
Hills
Bancorp,
Inc.
2,134,506
7,269
BlackRock,
Inc.
5,480,535
14,573
Blackstone
Mortgage
Trust,
Inc.
451,763
153
BM
Technologies,
Inc.
e,h
1,693
1,527
BOK
Financial
Corporation
136,392
91,076
Bridgewater
Bancshares,
Inc.
h
1,470,877
31,314
Brighthouse
Financial,
Inc.
h
1,385,644
83,834
BrightSphere
Investment
Group
1,708,537
6,755
Broadmark
Realty
Capital,
Inc.
70,657
47,678
Brookline
Bancorp,
Inc.
715,170
12,623
Brown
&
Brown,
Inc.
576,997
12,764
Byline
Bancorp,
Inc.
269,959
43,098
Capital
One
Financial
Corporation
5,483,359
45,726
Central
Pacific
Financial
Corporation
1,219,970
290,424
Charles
Schwab
Corporation
18,929,836
116,312
Chimera
Investment
Corporation
1,477,162
23,160
Chubb,
Ltd.
3,658,585
27,463
Cincinnati
Financial
Corporation
2,831,161
104,456
Citigroup,
Inc.
7,599,174
19,931
Citizens
Financial
Group,
Inc.
879,954
18,128
CME
Group,
Inc.
3,702,281
20,569
CNO
Financial
Group,
Inc.
499,621
62,832
Columbia
Banking
System,
Inc.
2,707,431
47,816
Comerica,
Inc.
3,430,320
5,146
Commerce
Bancshares,
Inc.
394,235
44,929
Community
Trust
Bancorp,
Inc.
1,978,224
6,462
Cowen,
Inc.
227,139
Shares
Common
Stock
(28.5%)
Value
Financials
(3.8%)
-
continued
4,278
Cullen/Frost
Bankers,
Inc.
$
465,275
18,305
Customers
Bancorp,
Inc.
h
582,465
769
Diamond
Hill
Investment
Group,
Inc.
119,972
4,367
Dime
Community
Bancshares,
Inc.
131,621
26,510
Discover
Financial
Services
2,518,185
14,054
East
West
Bancorp,
Inc.
1,037,185
20,483
Ellington
Residential
Mortgage
REIT
252,146
1,276
Employers
Holdings,
Inc.
54,945
3,428
Encore
Capital
Group,
Inc.
h
137,908
13,834
Enova
International,
Inc.
h
490,830
912
Enstar
Group,
Ltd.
h
225,018
10,020
Enterprise
Financial
Services
Corporation
495,389
181,898
Equitable
Holdings,
Inc.
5,933,513
29,794
Essent
Group,
Ltd.
1,414,917
18,640
Evercore,
Inc.
2,455,634
432,212
Everi
Holdings,
Inc.
h
6,098,511
103,868
F.N.B.
Corporation
1,319,124
7,028
FactSet
Research
Systems,
Inc.
2,168,771
3,312
Federal
Agricultural
Mortgage
Corporation
333,585
36,480
Financial
Institutions,
Inc.
1,104,979
2,726
First
American
Financial
Corporation
154,428
36,909
First
Bancorp/Puerto
Rico
415,595
72,377
First
Busey
Corporation
1,856,470
82,482
First
Financial
Bancorp
1,979,568
23,990
First
Financial
Corporation
1,079,790
32,141
First
Horizon
Corporation
543,504
2,581
First
Mid-Illinois
Bancshares,
Inc.
113,383
70,898
First
Midwest
Bancorp,
Inc.
1,553,375
4,884
First
of
Long
Island
Corporation
103,785
52,581
First
Republic
Bank
8,767,882
103,845
Flagstar
Bancorp,
Inc.
4,683,409
4,945
Flushing
Financial
Corporation
104,982
214,830
Fulton
Financial
Corporation
3,658,555
23,193
Glacier
Bancorp,
Inc.
1,323,856
4,867
Goldman
Sachs
Group,
Inc.
1,591,509
82,497
Granite
Point
Mortgage
Trust,
Inc.
987,489
51,113
Great
Southern
Bancorp,
Inc.
2,896,574
42,063
Great
Western
Bancorp,
Inc.
1,274,088
28,568
Hamilton
Lane,
Inc.
2,529,982
135,286
Hancock
Whitney
Corporation
5,683,365
21,379
Hanmi
Financial
Corporation
421,808
37,661
Hanover
Insurance
Group,
Inc.
4,875,593
73,579
Heartland
Financial
USA,
Inc.
3,698,081
52,282
Heritage
Commerce
Corporation
638,886
6,871
Hilltop
Holdings,
Inc.
234,507
1,900
HomeStreet,
Inc.
83,733
43,160
Hometrust
Bancshares,
Inc.
1,050,946
277,299
Hope
Bancorp,
Inc.
4,176,123
56,773
Horizon
Bancorp,
Inc.
1,054,842
53,260
Independent
Bank
Corporation
1,259,066
101,399
Invesco
Mortgage
Capital.
Inc.
406,610
100,192
Invesco,
Ltd.
2,526,842
79,472
J.P.
Morgan
Chase
&
Company
12,098,023
34,864
James
River
Group
Holdings,
Ltd.
1,590,496
35,092
Jefferies
Financial
Group,
Inc.
1,056,269
100,156
KeyCorp
2,001,117
41,869
Kinsale
Capital
Group,
Inc.
6,900,011
2,353
KKR
Real
Estate
Finance
Trust,
Inc.
43,272
37,605
Ladder
Capital
Corporation
443,739
20,698
Lakeland
Bancorp,
Inc.
360,766
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
202
Shares
Common
Stock
(28.5%)
Value
Financials
(3.8%)
-
continued
51,963
Lincoln
National
Corporation
$
3,235,736
9,885
Loews
Corporation
506,903
570
Markel
Corporation
h
649,583
801
MarketAxess
Holdings,
Inc.
398,834
21,205
Marsh
&
McLennan
Companies,
Inc.
2,582,769
9,788
Mercantile
Bank
Corporation
317,816
73,823
Meridian
Bancorp,
Inc.
1,359,820
41,904
MetLife,
Inc.
2,547,344
409,514
MFA
Financial,
Inc.
1,666,722
13,706
Midland
States
Bancorp,
Inc.
380,204
72,179
MidWestOne
Financial
Group,
Inc.
2,235,384
6,351
Moody's
Corporation
1,896,472
69,715
Morgan
Stanley
5,414,067
42,954
Mr.
Cooper
Group,
Inc.
h
1,493,081
10,058
MSCI,
Inc.
4,217,118
1,005
National
Western
Life
Group,
Inc.
250,245
73,087
Navient
Corporation
1,045,875
3,094
NBT
Bancorp,
Inc.
123,451
273,504
New
York
Community
Bancorp,
Inc.
3,451,620
40,348
New
York
Mortgage
Trust,
Inc.
180,356
22,921
NMI
Holdings,
Inc.
h
541,852
15,129
Northern
Trust
Corporation
1,590,209
23,211
OFG
Bancorp
525,033
62,225
Old
National
Bancorp
1,203,432
23,543
Old
Republic
International
Corporation
514,179
29,427
Old
Second
Bancorp,
Inc.
388,731
8,789
OneMain
Holdings,
Inc.
472,145
2,661
Oppenheimer
Holdings,
Inc.
106,573
65,890
PacWest
Bancorp
2,513,704
1,424
Peapack-Gladstone
Financial
Corporation
43,973
9,923
PennyMac
Mortgage
Investment
Trust
194,491
9,669
Peoples
Bancorp,
Inc.
320,721
114,400
Popular,
Inc.
8,044,608
50,391
Premier
Financial
Corporation
1,676,005
15,299
Primerica,
Inc.
2,261,498
13,456
PROG
Holdings,
Inc.
582,510
16,199
Prosperity
Bancshares,
Inc.
1,213,143
35,201
QCR
Holdings,
Inc.
1,662,191
179,470
Radian
Group,
Inc.
4,172,678
37,100
Raymond
James
Financial,
Inc.
4,546,976
103,471
Redwood
Trust,
Inc.
1,077,133
21,271
Reinsurance
Group
of
America,
Inc.
2,681,210
7,280
RenaissanceRe
Holdings,
Ltd.
1,166,620
1,126
RLI
Corporation
125,628
50,352
S&P
Global,
Inc.
17,767,710
4,960
Safety
Insurance
Group,
Inc.
417,880
100,861
Seacoast
Banking
Corporation
of
Florida
h
3,655,203
58,268
SEI
Investments
Company
3,550,269
13,125
Selective
Insurance
Group,
Inc.
952,088
16,943
Signature
Bank
3,830,812
11,827
Simmons
First
National
Corporation
350,907
8,369
Southside
Bancshares,
Inc.
322,290
56,018
Starwood
Property
Trust,
Inc.
1,385,885
10,288
Sterling
Bancorp
236,830
3,314
Stifel
Financial
Corporation
212,295
52,615
Synovus
Financial
Corporation
2,407,136
13,994
T.
Rowe
Price
Group,
Inc.
2,401,370
12,288
Territorial
Bancorp,
Inc.
325,140
Shares
Common
Stock
(28.5%)
Value
Financials
(3.8%)
-
continued
21,799
TMX
Group,
Ltd.
$
2,265,243
557
Tompkins
Financial
Corporation
46,064
13,236
Torchmark
Corporation
1,278,995
6,869
Towne
Bank
208,818
61,879
TPG
RE
Finance
Trust,
Inc.
693,045
23,190
TriCo
Bancshares
1,098,510
29,795
Triumph
Bancorp,
Inc.
h
2,305,835
55,772
Truist
Financial
Corporation
3,252,623
80,233
TrustCo
Bank
Corporation
591,317
21,204
Trustmark
Corporation
713,727
87,804
Two
Harbors
Investment
Corporation
643,603
268,696
Umpqua
Holdings
Corporation
4,715,615
38,108
United
Bankshares,
Inc.
1,470,207
2,821
Universal
Insurance
Holdings,
Inc.
40,453
3,791
Univest
Financial
Corporation
108,385
156,735
Unum
Group
4,361,935
54,151
Valley
National
Bancorp
744,035
13,042
Voya
Financial,
Inc.
829,993
1,765
Walker
&
Dunlop,
Inc.
181,336
14,393
Washington
Trust
Bancorp,
Inc.
743,111
3,043
Webster
Financial
Corporation
167,700
192,127
Wells
Fargo
&
Company
7,506,402
17,180
WesBanco,
Inc.
619,511
1,407
Westamerica
Bancorporation
88,331
155,346
Western
Alliance
Bancorp
14,670,876
105,819
Western
Asset
Mortgage
Capital
Corporation
337,563
1,614
Westwood
Holdings
Group,
Inc.
23,338
44,320
Wintrust
Financial
Corporation
3,359,456
94,463
Zions
Bancorporations
NA
5,191,686
7,388
Zurich
Insurance
Group
AG
3,144,714
Total
425,983,147
Health
Care
(3.7%)
26,127
Abbott
Laboratories
3,131,060
25,468
AbbVie,
Inc.
2,756,147
171,306
ACADIA
Pharmaceuticals,
Inc.
h
4,419,695
3,381
Acceleron
Pharma,
Inc.
h
458,497
86,086
Adaptive
Biotechnologies
Corporation
h
3,465,822
11,483
ADMA
Biologics,
Inc.
g,h
20,210
20,204
Adverum
Biotechnologies,
Inc.
h
199,211
2,368
Align
Technology,
Inc.
h
1,282,343
1,787
Allakos,
Inc.
h
205,112
12,324
Altimmune,
Inc.
h
174,138
5,899
Amedisys,
Inc.
h
1,561,996
67,935
Amgen,
Inc.
16,902,907
26,608
AMN
Healthcare
Services,
Inc.
h
1,961,010
5,659
AnaptysBio,
Inc.
h
121,951
12,125
Anthem,
Inc.
4,352,269
346,031
Ardelyx,
Inc.
h
2,290,725
13,156
Arena
Pharmaceuticals,
Inc.
h
912,895
17,820
Argenx
SE
ADR
h
4,907,450
20,550
Arrowhead
Research
Corporation
h
1,362,670
33,345
Ascendis
Pharma
AS
ADR
h
4,297,504
13,658
Atara
Biotherapeutics,
Inc.
h
196,129
628
Atrion
Corporation
402,743
63,240
Axonics
Modulation
Technologies,
Inc.
h
3,787,444
11,585
Becton,
Dickinson
and
Company
2,816,893
7,792
Biogen,
Inc.
h
2,179,812
57,908
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
h
3,958,012
283
BioLife
Solutions,
Inc.
h
10,188
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
203
Shares
Common
Stock
(28.5%)
Value
Health
Care
(3.7%)
-
continued
1,506
Bio-Rad
Laboratories,
Inc.
h
$
860,182
19,379
Bio-Techne
Corporation
7,401,421
6,340
BioXcel
Therapeutics,
Inc.
g,h
273,634
5,228
Bruker
Corporation
336,056
37,418
Catalent,
Inc.
h
3,940,490
32,247
Centene
Corporation
h
2,060,906
135,666
Cerner
Corporation
9,751,672
12,916
Charles
River
Laboratories
International,
Inc.
h
3,743,444
4,741
Chemed
Corporation
2,180,007
17,433
Cigna
Holding
Company
4,214,253
1,999
Co-Diagnostics,
Inc.
g,h
19,070
520
Cooper
Companies,
Inc.
199,727
25,657
CryoLife,
Inc.
h
579,335
30,963
CVS
Health
Corporation
2,329,346
10,286
CytomX
Therapeutics,
Inc.
h
79,511
2,817
Danaher
Corporation
634,050
40,885
Dexcom,
Inc.
h
14,693,660
10,475
Editas
Medicine,
Inc.
h
439,950
133,035
Edwards
Lifesciences
Corporation
h
11,127,047
11,971
Envista
Holdings
Corporation
h
488,417
411
Fate
Therapeutics,
Inc.
h
33,887
44,991
GlaxoSmithKline
plc
ADR
g
1,605,729
9,736
Global
Blood
Therapeutics,
Inc.
h
396,742
86,916
GoodRx
Holdings,
Inc.
g,h
3,391,462
66,012
Guardant
Health,
Inc.
h
10,076,732
14,542
Haemonetics
Corporation
h
1,614,307
35,590
Halozyme
Therapeutics,
Inc.
h
1,483,747
16,832
HCA
Healthcare,
Inc.
3,170,139
7,504
HealthEquity,
Inc.
h
510,272
20,176
Hill-Rom
Holdings,
Inc.
2,229,044
27,032
Humana,
Inc.
11,333,166
171
ICU
Medical,
Inc.
h
35,130
9,936
Illumina,
Inc.
h
3,816,020
62,305
Immunocore
Holdings
plc
ADR
h
2,652,324
17,769
ImmunoGen,
Inc.
h
143,929
22,381
InMode,
Ltd.
h
1,619,713
23,928
Inspire
Medical
Systems,
Inc.
h
4,952,857
23,094
Insulet
Corporation
h
6,025,686
4,280
Integra
LifeSciences
Holdings
Corporation
h
295,705
17,920
Intuitive
Surgical,
Inc.
h
13,241,805
21,935
Invitae
Corporation
g,h
838,136
25,420
Ionis
Pharmaceuticals,
Inc.
h
1,142,883
20,667
IQVIA
Holding,
Inc.
h
3,991,624
8,909
iRhythm
Technologies,
Inc.
h
1,237,104
72,951
Johnson
&
Johnson
11,989,497
13,815
Kura
Oncology,
Inc.
h
390,550
3,892
Laboratory
Corporation
of
America
Holdings
h
992,577
9,652
Lannett
Company,
Inc.
h
50,963
54,019
Lantheus
Holdings,
Inc.
h
1,154,386
71,228
LHC
Group,
Inc.
h
13,619,506
97,232
Medtronic
plc
11,486,016
79,455
Merck
&
Company,
Inc.
6,125,186
1,440
Mettler-Toledo
International,
Inc.
h
1,664,194
1,381
Mirati
Therapeutics,
Inc.
h
236,565
12,031
Moderna,
Inc.
h
1,575,459
11,286
Molina
Healthcare,
Inc.
h
2,638,215
56,080
Natera,
Inc.
h
5,694,363
24,224
National
Healthcare
Corporation
1,887,292
6,338
Neogen
Corporation
h
563,385
51,202
Nevro
Corporation
h
7,142,679
9,638
Novavax,
Inc.
h
1,747,466
108,015
Novo
Nordisk
AS
ADR
7,282,371
Shares
Common
Stock
(28.5%)
Value
Health
Care
(3.7%)
-
continued
37,584
NuVasive,
Inc.
h
$
2,464,007
6,965
Olink
Holding
AB
ADR
h
250,740
5,346
Omnicell,
Inc.
h
694,285
89,010
OPKO
Health,
Inc.
g,h
381,853
4,898
Orthifix
Medical,
Inc.
h
212,328
4,275
Owens
&
Minor,
Inc.
160,697
7,650
Precigen,
Inc.
h
52,709
19,573
Premier,
Inc.
662,546
44,175
Pulmonx
Corporation
h
2,020,565
6,588
Quidel
Corporation
h
842,803
13,276
Reata
Pharmaceuticals,
Inc.
h
1,323,617
18,355
Repligen
Corporation
h
3,568,396
2,333
Replimune
Group,
Inc.
h
71,180
6,073
Sage
Therapeutics,
Inc.
h
454,564
9,638
Sarepta
Therapeutics,
Inc.
h
718,320
1,404
Seres
Therapeutics,
Inc.
h
28,908
70,780
Silk
Road
Medical,
Inc.
h
3,585,007
56,013
Stryker
Corporation
13,643,647
831
Surmodics,
Inc.
h
46,594
50,319
Syneos
Health,
Inc.
h
3,816,696
89,006
Tactile
Systems
Technology,
Inc.
h
4,849,937
42,413
Teladoc
Health,
Inc.
h
7,708,563
17,874
Teleflex,
Inc.
7,425,932
6,354
Tenet
Healthcare
Corporation
h
330,408
46,720
Thermo
Fisher
Scientific,
Inc.
21,322,074
45,850
Travere
Therapeutics,
Inc.
h
1,144,875
3,828
U.S.
Physical
Therapy,
Inc.
398,495
165
Ultragenyx
Pharmaceutical,
Inc.
h
18,787
2,935
United
Therapeutics
Corporation
h
490,937
18,525
UnitedHealth
Group,
Inc.
6,892,597
146,973
Vaxart,
Inc.
g,h
889,187
96,610
VBI
Vaccines,
Inc.
g,h
300,457
58,991
Veeva
Systems,
Inc.
h
15,410,809
98,678
Viatris,
Inc.
h
1,378,532
91,980
Viemed
Healthcare,
Inc.
h
930,838
11,099
ViewRay,
Inc.
h
48,281
4,102
Vocera
Communications,
Inc.
h
157,763
55,847
Vor
BioPharma,
Inc.
h
2,407,006
1,625
Waters
Corporation
h
461,776
7,579
Zimmer
Biomet
Holdings,
Inc.
1,213,246
111,116
Zoetis,
Inc.
17,498,548
60,843
Zymeworks,
Inc.
h
1,921,422
Total
413,765,756
Industrials
(3.5%)
19,186
Advanced
Drainage
Systems,
Inc.
1,983,641
18,419
AECOM
h
1,180,842
12,479
Allegion
plc
1,567,612
134,416
Altra
Industrial
Motion
Corporation
7,435,893
45,199
AMETEK,
Inc.
5,773,268
4,206
Apogee
Enterprises,
Inc.
171,941
4,302
Armstrong
World
Industries,
Inc.
387,567
98,617
ASGN,
Inc.
h
9,412,006
10,567
Axon
Enterprise,
Inc.
h
1,504,952
56,655
AZZ,
Inc.
2,852,579
73,898
Badger
Daylighting,
Ltd.
2,520,894
33,077
Blink
Charging
Company
g,h
1,359,465
33,758
Bloom
Energy
Corporation
h
913,154
5,112
Boeing
Company
h
1,302,129
22,537
Carlisle
Companies,
Inc.
3,709,139
72,652
CBIZ,
Inc.
h
2,372,814
62,290
Chart
Industries,
Inc.
h
8,866,981
395
Copart,
Inc.
h
42,901
9,804
CRA
International,
Inc.
731,771
68,288
Crane
Company
6,412,926
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
204
Shares
Common
Stock
(28.5%)
Value
Industrials
(3.5%)
-
continued
35,594
CSW
Industrials,
Inc.
$
4,805,190
21,109
CSX
Corporation
2,035,330
276
Cummins,
Inc.
71,514
72,836
Curtiss-Wright
Corporation
8,638,350
72,686
Delta
Air
Lines,
Inc.
h
3,509,280
4,120
Diamond
S
Shipping,
Inc.
h
41,324
8,045
Douglas
Dynamics,
Inc.
371,277
2,147
Dycom
Industries,
Inc.
h
199,349
24,263
Eaton
Corporation
plc
3,355,088
29,350
EMCOR
Group,
Inc.
3,291,896
35,706
Emerson
Electric
Company
3,221,395
11,125
Encore
Wire
Corporation
746,821
4,698
Expeditors
International
of
Washington,
Inc.
505,928
45,530
Forrester
Research,
Inc.
h
1,934,114
53,041
Forward
Air
Corporation
4,710,571
87,849
FuelCell
Energy,
Inc.
h
1,265,904
15,622
GATX
Corporation
1,448,784
17,015
Generac
Holdings,
Inc.
h
5,571,562
38,394
General
Dynamics
Corporation
6,970,815
20,031
Gorman-Rupp
Company
663,226
5,847
Greenbrier
Companies,
Inc.
276,095
11,019
Heico
Corporation
1,386,190
29,115
Helios
Technologies,
Inc.
2,121,610
79,344
Honeywell
International,
Inc.
17,223,202
271,859
Howmet
Aerospace,
Inc.
h
8,734,830
30,711
Hubbell,
Inc.
5,739,579
6,126
ICF
International,
Inc.
535,412
37,368
IDEX
Corporation
7,821,870
2,794
Illinois
Tool
Works,
Inc.
618,927
445
Insperity,
Inc.
37,264
4,605
International
Seaways,
Inc.
89,245
841
JB
Hunt
Transport
Services,
Inc.
141,347
21,568
JetBlue
Airways
Corporation
h
438,693
2,180
John
Bean
Technologies
Corporation
290,681
86,616
Johnson
Controls
International
plc
5,168,377
12,291
Kansas
City
Southern
3,243,841
1,874
Kimball
International,
Inc.
26,236
25,017
L3Harris
Technologies,
Inc.
5,070,446
30,735
Landstar
System,
Inc.
5,073,119
4,570
Lennox
International,
Inc.
1,423,966
98,321
Lincoln
Electric
Holdings,
Inc.
12,087,584
37,368
Lockheed
Martin
Corporation
13,807,476
40,515
Manpower,
Inc.
4,006,933
3,567
Masonite
International
Corporation
h
411,061
77,841
Mercury
Systems,
Inc.
h
5,499,467
240,638
Meritor,
Inc.
h
7,079,570
16,809
Mesa
Air
Group,
Inc.
h
226,081
67,562
Middleby
Corporation
h
11,198,401
32,153
MSC
Industrial
Direct
Company,
Inc.
2,899,879
47,549
NAPCO
Security
Technologies,
Inc.
h
1,656,132
3,343
Nordson
Corporation
664,187
43,031
Norfolk
Southern
Corporation
11,554,684
12,373
Northrop
Grumman
Corporation
4,004,398
28,906
Nutrien,
Ltd.
1,557,744
23,182
Old
Dominion
Freight
Line,
Inc.
5,573,185
18,633
Otis
Worldwide
Corporation
1,275,429
15,927
Parker-Hannifin
Corporation
5,023,854
118,142
Pitney
Bowes,
Inc.
973,490
5,635
Primoris
Services
Corporation
186,688
21,390
Quad/Graphics,
Inc.
h
75,507
Shares
Common
Stock
(28.5%)
Value
Industrials
(3.5%)
-
continued
61,285
Ranpak
Holdings
Corporation
h
$
1,229,377
66,813
Raven
Industries,
Inc.
2,560,942
34,261
Raytheon
Technologies
Corporation
2,647,347
14,926
RBC
Bearings,
Inc.
h
2,936,989
109,983
Regal-Beloit
Corporation
15,692,374
94,723
Ritchie
Brothers
Auctioneers,
Inc.
5,546,032
80,146
Rush
Enterprises,
Inc.
3,993,675
6,923
Ryder
System,
Inc.
523,725
13,263
Saia,
Inc.
h
3,058,183
26,056
Simpson
Manufacturing
Company,
Inc.
2,702,789
7,782
SkyWest,
Inc.
h
423,963
47,042
Smith
&
Wesson
Brands,
Inc.
820,883
4,892
Snap-On,
Inc.
1,128,780
35,123
Southwest
Airlines
Company
h
2,144,610
43,232
Spirit
Airlines,
Inc.
g,h
1,595,261
56,024
Standex
International
Corporation
5,354,214
3,544
Sterling
Construction
Company,
Inc.
h
82,221
167,197
Summit
Materials,
Inc.
h
4,684,860
64,604
Sun
Country
Airlines
Holdings,
Inc.
h
2,214,625
1,333
Sunrun,
Inc.
h
80,620
11,879
Technip
Energies
N.V.
ADR
g,h
177,829
5,505
Teledyne
Technologies,
Inc.
h
2,277,143
3,955
Tetra
Tech,
Inc.
536,773
8,367
Thermon
Group
Holdings,
Inc.
h
163,073
25,490
Timken
Company
2,069,023
345
Toro
Company
35,583
1,224
Trane
Technologies
plc
202,645
66,188
TransUnion
5,956,920
31,572
Trex
Company,
Inc.
h
2,890,101
63,592
TriMas
Corporation
h
1,928,109
34,349
Tutor
Perini
Corporation
h
650,914
3,464
UniFirst
Corporation
774,931
20,656
Union
Pacific
Corporation
4,552,789
19,442
United
Parcel
Service,
Inc.
3,304,946
45,061
United
Rentals,
Inc.
h
14,839,038
19,291
Valmont
Industries,
Inc.
4,584,892
10,913
Verisk
Analytics,
Inc.
1,928,218
6,607
Waste
Connections,
Inc.
713,424
13,772
Watsco,
Inc.
3,591,049
2,187
Watts
Water
Technologies,
Inc.
259,837
8,874
Welbilt,
Inc.
h
144,203
14,152
Werner
Enterprises,
Inc.
667,550
27,890
WESCO
International,
Inc.
h
2,413,322
46,469
Willdan
Group,
Inc.
h
1,907,552
10,515
Woodward,
Inc.
1,268,424
14,382
XPO
Logistics,
Inc.
h
1,773,301
6,621
Xylem,
Inc.
696,397
Total
388,812,329
Information
Technology
(7.0%)
4,408
3D
Systems
Corporation
h
120,956
19,594
Accenture
plc
5,412,843
63,113
Adobe,
Inc.
h
30,002,027
639
ADTRAN,
Inc.
10,659
13,205
Advanced
Energy
Industries,
Inc.
1,441,590
39,321
Agilysys,
Inc.
h
1,885,835
30,578
Alliance
Data
Systems
Corporation
3,427,488
7,470
Ambarella,
Inc.
h
749,913
94,757
Amphenol
Corporation
6,251,119
4,178
Analog
Devices,
Inc.
647,924
152,880
Anaplan,
Inc.
h
8,232,588
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
205
Shares
Common
Stock
(28.5%)
Value
Information
Technology
(7.0%)
-
continued
5,572
ANSYS,
Inc.
h
$
1,892,028
829,258
Apple,
Inc.
101,293,865
11,785
Aspen
Technology,
Inc.
h
1,700,929
15,154
Atlassian
Corporation
plc
h
3,193,857
34,132
Avalara,
Inc.
h
4,554,233
634
Avnet,
Inc.
26,317
26,864
Axcelis
Technologies,
Inc.
h
1,103,842
70,587
Bandwidth,
Inc.
g,h
8,946,196
14,838
Belden,
Inc.
658,362
39,104
Benchmark
Electronics,
Inc.
1,209,096
141,463
BigCommerce
Holdings,
Inc.
h
8,176,561
8,071
Bill.com
Holdings,
Inc.
h
1,174,330
17,879
Blackline,
Inc.
h
1,938,084
551
Broadcom,
Ltd.
255,477
3,196
Broadridge
Financial
Solutions,
Inc.
489,308
1,426
CACI
International,
Inc.
h
351,737
74,474
Calix,
Inc.
h
2,581,269
22,954
CDK
Global,
Inc.
1,240,893
8,584
CDW
Corporation
1,422,798
3,350
Ceridian
HCM
Holding,
Inc.
h
282,305
50,236
Ciena
Corporation
h
2,748,914
161,611
Cisco
Systems,
Inc.
8,356,905
25,260
Cognex
Corporation
2,096,327
26,910
Computer
Services,
Inc.
1,587,690
1,277
Concentrix
Corporation
h
191,192
16,448
Coupa
Software,
Inc.
h
4,185,687
12,127
Cree,
Inc.
h
1,311,293
12,848
CTS
Corporation
399,059
39,944
Descartes
Systems
Group,
Inc.
h
2,432,989
21,646
Diebold
Nixdorf,
Inc.
h
305,858
22,130
DocuSign,
Inc.
h
4,480,219
105,263
Dolby
Laboratories,
Inc.
10,391,563
153
Domo,
Inc.
h
8,612
50,140
Dropbox,
Inc.
h
1,336,732
8,607
DSP
Group,
Inc.
h
122,650
78,578
Elastic
NV
h
8,737,874
46,466
Endava
plc
ADR
h
3,935,206
12,749
Enphase
Energy,
Inc.
h
2,067,378
8,320
EPAM
Systems,
Inc.
h
3,300,461
13,783
ePlus,
Inc.
h
1,373,338
49,019
Euronet
Worldwide,
Inc.
h
6,779,328
7,862
ExlService
Holdings,
Inc.
h
708,838
24,100
eXp
World
Holdings,
Inc.
g,h
1,097,755
12,024
F5
Networks,
Inc.
h
2,508,447
31,593
Fastly,
Inc.
g,h
2,125,577
14,423
First
Solar,
Inc.
h
1,259,128
34,075
Five9,
Inc.
h
5,326,945
10,456
FleetCor
Technologies,
Inc.
h
2,808,795
30,612
Global
Payments,
Inc.
6,170,767
42,161
Health
Catalyst,
Inc.
g,h
1,971,870
11,490
Intuit,
Inc.
4,401,359
581
IPG
Photonics
Corporation
h
122,556
22,439
Jack
Henry
&
Associates,
Inc.
3,404,445
5,433
KLA-Tencor
Corporation
1,795,063
8,173
Lam
Research
Corporation
4,864,897
70,146
Lattice
Semiconductor
Corporation
h
3,157,973
6,253
Littelfuse,
Inc.
1,653,543
53,546
LivePerson,
Inc.
h
2,824,016
69,786
Lumentum
Holdings,
Inc.
h
6,374,951
10,610
Manhattan
Associates,
Inc.
h
1,245,402
104,169
Mastercard,
Inc.
37,089,372
5,580
MAXIMUS,
Inc.
496,843
2,389
MaxLinear,
Inc.
h
81,417
Shares
Common
Stock
(28.5%)
Value
Information
Technology
(7.0%)
-
continued
242,360
Medallia,
Inc.
h
$
6,759,420
455,514
Microsoft
Corporation
107,396,536
267
MicroStrategy,
Inc.
h
181,240
50,876
MKS
Instruments,
Inc.
9,433,428
37,870
Monolithic
Power
Systems,
Inc.
13,376,063
12,350
Motorola
Solutions,
Inc.
2,322,418
42,849
National
Instruments
Corporation
1,850,434
914
NetApp,
Inc.
66,420
17,265
Nice,
Ltd.
ADR
h
3,763,252
16,635
Nova
Measuring
Instruments,
Ltd.
h
1,513,951
13,759
Novanta,
Inc.
h
1,814,675
126,965
Nuance
Communications,
Inc.
h
5,540,753
55,678
NVIDIA
Corporation
29,728,155
15,504
Okta,
Inc.
h
3,417,547
75,292
Oracle
Corporation
5,283,240
15,742
Palo
Alto
Networks,
Inc.
h
5,069,869
12,119
Paychex,
Inc.
1,187,904
10,079
Paylocity
Holding
Corporation
h
1,812,507
192,791
PayPal
Holdings,
Inc.
h
46,817,366
34,945
Plantronics,
Inc.
h
1,359,710
15,461
Plexus
Corporation
h
1,419,938
16,350
Plug
Power,
Inc.
h
585,984
4,059
Progress
Software
Corporation
178,840
26,791
Q2
Holdings,
Inc.
h
2,684,458
16,738
QAD,
Inc.
1,114,416
15,831
Qorvo,
Inc.
h
2,892,324
138,194
QUALCOMM,
Inc.
18,323,142
17,568
Rogers
Corporation
h
3,306,473
51,430
SailPoint
Technologies
Holdings,
Inc.
h
2,604,415
115,674
Salesforce.com,
Inc.
h
24,507,850
3,013
Samsung
Electronics
Company,
Ltd.
GDR
5,493,248
20,702
ScanSource,
Inc.
h
620,025
25,752
Semtech
Corporation
h
1,776,888
42,740
ServiceNow,
Inc.
h
21,374,701
121,904
Sierra
Wireless,
Inc.
h
1,800,522
9,984
Silicon
Laboratories,
Inc.
h
1,408,443
10,449
SiTime
Corporation
h
1,030,271
3,442
Solaredge
Technology,
Ltd.
h
989,368
46,515
Sprout
Social,
Inc.
h
2,686,706
128,107
Square,
Inc.
h
29,086,694
116,604
STMicroelectronics
NV
ADR
g
4,469,431
5,358
SunPower
Corporation
g,h
179,225
6,080
SYNNEX
Corporation
698,227
8,483
TE
Connectivity,
Ltd.
1,095,240
67,204
Texas
Instruments,
Inc.
12,700,884
2,597
Trade
Desk,
Inc.
h
1,692,361
132,285
TTM
Technologies,
Inc.
h
1,918,133
2,226
Tyler
Technologies,
Inc.
h
945,004
11,511
Unisys
Corporation
h
292,610
3,670
ViaSat,
Inc.
g,h
176,417
19,795
Visa,
Inc.
4,191,195
7,604
VMware,
Inc.
g,h
1,144,022
3,244
Western
Union
Company
79,997
58,148
Workiva,
Inc.
h
5,132,142
19,901
Xerox
Holdings
Corporation
482,997
17,874
Zscaler,
Inc.
h
3,068,430
Total
769,159,572
Materials
(0.8%)
3,268
AdvanSix,
Inc.
h
87,648
38,074
Allegheny
Technologies,
Inc.
h
801,838
22,324
AptarGroup,
Inc.
3,162,641
10,384
Avery
Dennison
Corporation
1,907,022
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
206
Shares
Common
Stock
(28.5%)
Value
Materials
(0.8%)
-
continued
80,104
Axalta
Coating
Systems,
Ltd.
h
$
2,369,476
1,221
Balchem
Corporation
153,126
20,656
Ball
Corporation
1,750,389
13,683
Cabot
Corporation
717,536
58,730
Carpenter
Technology
Corporation
2,416,739
4,943
Celanese
Corporation
740,511
76,642
CF
Industries
Holdings,
Inc.
3,478,014
31,568
Chemours
Company
881,063
50,027
Cleveland-Cliffs,
Inc.
g
1,006,043
109,056
Coeur
Mining,
Inc.
h
984,776
6,270
Eagle
Materials,
Inc.
842,751
69,126
Eastman
Chemical
Company
7,612,155
16,402
Ecolab,
Inc.
3,511,176
114,773
Element
Solutions,
Inc.
2,099,198
90,800
Ferroglobe
Representation
&
Warranty
Insurance
Trust
e,h
9
6,485
FMC
Corporation
717,306
12,621
Ingevity
Corporation
h
953,264
57,687
Innospec,
Inc.
5,923,878
235,035
Ivanhoe
Mines,
Ltd.
h
1,210,055
38,458
Kaiser
Aluminum
Corporation
4,249,609
3,102
Koppers
Holdings,
Inc.
h
107,826
13,910
LyondellBasell
Industries
NV
1,447,335
27,034
Martin
Marietta
Materials,
Inc.
9,078,558
15,587
Materion
Corporation
1,032,483
18,756
Minerals
Technologies,
Inc.
1,412,702
55,271
Myers
Industries,
Inc.
1,092,155
25,954
Neenah,
Inc.
1,333,517
367
NewMarket
Corporation
139,519
44,882
Nucor
Corporation
3,602,678
4,555
O-I
Glass,
Inc.
h
67,141
27,117
Olin
Corporation
1,029,632
7,412
Olympic
Steel,
Inc.
218,283
527
PPG
Industries,
Inc.
79,187
27,117
Quaker
Chemical
Corporation
6,610,311
1,658
Reliance
Steel
&
Aluminum
Company
252,497
7,444
RPM
International,
Inc.
683,731
32,997
Ryerson
Holding
Corporation
h
562,269
3,194
Scotts
Miracle-Gro
Company
782,434
25,010
Sensient
Technologies
Corporation
1,950,780
47,426
Steel
Dynamics,
Inc.
2,407,344
35,564
SunCoke
Energy,
Inc.
249,304
30,869
UFP
Technologies,
Inc.
h
1,537,894
15,127
United
States
Lime
&
Minerals,
Inc.
2,022,631
5,481
United
States
Steel
Corporation
g
143,438
30,726
W.
R.
Grace
&
Company
1,839,258
Total
87,259,130
Real
Estate
(1.4%)
109,087
Agree
Realty
Corporation
7,342,646
8,913
Alexandria
Real
Estate
Equities,
Inc.
1,464,406
88,798
American
Campus
Communities,
Inc.
3,833,410
6,367
Apartment
Income
REIT
Corporation
272,253
105,623
Apartment
Investment
&
Management
Company
648,525
24,575
Armada
Hoffler
Properties,
Inc.
308,171
8,906
AvalonBay
Communities,
Inc.
1,643,246
1,456
Bluegreen
Vacations
Holding
Corporations
h
26,994
63,971
Camden
Property
Trust
7,031,053
74,868
CareTrust
REIT,
Inc.
1,743,301
Shares
Common
Stock
(28.5%)
Value
Real
Estate
(1.4%)
-
continued
84,435
CBRE
Group,
Inc.
h
$
6,679,653
15,676
Cedar
Realty
Trust,
Inc.
233,572
6,171
Centerspace
419,628
19,646
Colliers
International
Group,
Inc.
1,930,023
19,273
Colony
Credit
Real
Estate,
Inc.
164,206
12,869
Community
Healthcare
Trust,
Inc.
593,518
14,455
Corepoint
Lodging,
Inc.
h
130,529
6,091
CoStar
Group,
Inc.
h
5,006,132
13,721
CubeSmart
519,065
181,258
Cushman
and
Wakefield
plc
h
2,958,131
8,728
Digital
Realty
Trust,
Inc.
1,229,252
18,708
Diversified
Healthcare
Trust
89,424
30,151
Douglas
Emmett,
Inc.
946,741
28,613
Duke
Realty
Corporation
1,199,743
22,817
EastGroup
Properties,
Inc.
3,269,220
28,434
EPR
Properties
1,324,740
184,220
Essential
Properties
Realty
Trust,
Inc.
4,205,743
2,849
Essex
Property
Trust,
Inc.
774,472
6,891
Extra
Space
Storage,
Inc.
913,402
19,685
Farmland
Partners,
Inc.
220,669
128,125
First
Industrial
Realty
Trust,
Inc.
5,866,844
19,670
FirstService
Corporation
2,914,897
141,223
Four
Corners
Property
Trust,
Inc.
3,869,510
6,665
Gaming
and
Leisure
Properties,
Inc.
282,796
20,052
Getty
Realty
Corporation
567,873
7,095
Gladstone
Commercial
Corporation
138,778
30,543
Gladstone
Land
Corporation
558,937
13,607
Global
Medical
REIT,
Inc.
178,388
42,564
Healthcare
Realty
Trust,
Inc.
1,290,541
99,853
Healthcare
Trust
of
America,
Inc.
2,753,946
2,293
Highwoods
Properties,
Inc.
98,461
159,758
Host
Hotels
&
Resorts,
Inc.
h
2,691,922
79,062
Independence
Realty
Trust,
Inc.
1,201,742
43,178
Industrial
Logistics
Properties
Trust
998,707
17,505
Innovative
Industrial
Properties,
Inc.
3,153,701
6,482
Iron
Mountain,
Inc.
239,899
9,087
Jones
Lang
LaSalle,
Inc.
h
1,626,937
93,206
Kilroy
Realty
Corporation
6,117,110
28,180
Lexington
Realty
Trust
313,080
26,285
Life
Storage,
Inc.
2,259,196
115,880
Medical
Properties
Trust,
Inc.
2,465,926
169,417
MGIC
Investment
Corporation
2,346,425
4,230
National
Health
Investors,
Inc.
305,744
67,115
National
Retail
Properties,
Inc.
2,957,758
198,213
National
Storage
Affiliates
Trust
7,914,645
240,177
New
Residential
Investment
Corporation
2,701,991
27,777
New
Senior
Investment
Group,
Inc.
173,051
31,494
NexPoint
Residential
Trust,
Inc.
1,451,558
20,174
Omega
Healthcare
Investors,
Inc.
738,974
13,998
One
Liberty
Properties,
Inc.
311,735
2,603
Plymouth
Industrial
REIT,
Inc.
43,861
28,081
Preferred
Apartment
Communities,
Inc.
276,598
18,158
Public
Storage,
Inc.
4,480,668
22,601
Rayonier,
Inc.
REIT
728,882
42,366
Realty
Income
Corporation
2,690,241
13,548
Redfin
Corporation
h
902,161
140,956
Rexford
Industrial
Realty,
Inc.
7,104,182
2,467
RMR
Group,
Inc.
100,678
82,603
Sabra
Health
Care
REIT,
Inc.
1,433,988
11,448
SBA
Communications
Corporation
3,177,392
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
207
Shares
Common
Stock
(28.5%)
Value
Real
Estate
(1.4%)
-
continued
290,707
Service
Properties
Trust
$
3,447,785
13,338
SL
Green
Realty
Corporation
933,527
38,002
Spirit
Realty
Capital,
Inc.
1,615,085
44,315
STAG
Industrial,
Inc.
1,489,427
49,083
Store
Capital
Corporation
1,644,281
152,241
Sunstone
Hotel
Investors,
Inc.
h
1,896,923
56,912
UDR,
Inc.
2,496,160
12,842
UMH
Properties,
Inc.
246,181
232
Universal
Health
Realty
Income
Trust
15,725
6,422
WP
Carey,
Inc.
454,421
Total
150,791,106
Utilities
(0.4%)
27,505
AES
Corporation
737,409
7,412
ALLETE,
Inc.
498,012
41,372
Alliant
Energy
Corporation
2,240,708
29,354
American
Electric
Power
Company,
Inc.
2,486,284
6,515
American
States
Water
Company
492,664
133
American
Water
Works
Company,
Inc.
19,939
20,474
Artesian
Resources
Corporation
806,266
23,182
Black
Hills
Corporation
1,547,862
70,096
CenterPoint
Energy,
Inc.
1,587,674
1,860
Chesapeake
Utilities
Corporation
215,909
18,105
Consolidated
Water
Company,
Ltd.
243,512
5,429
DTE
Energy
Company
722,817
32,381
Duke
Energy
Corporation
3,125,738
44,646
Entergy
Corporation
4,440,938
3,949
Essential
Utilities,
Inc.
176,718
11,883
Evergy,
Inc.
707,395
46,595
Exelon
Corporation
2,038,065
149,702
FirstEnergy
Corporation
5,193,162
6,460
Hawaiian
Electric
Industries,
Inc.
287,018
6,100
IDACORP,
Inc.
609,817
8,956
MDU
Resources
Group,
Inc.
283,099
4,010
National
Fuel
Gas
Company
200,460
7,022
New
Jersey
Resources
Corporation
279,967
1,516
NiSource,
Inc.
36,551
3,709
Northwest
Natural
Holding
Company
200,101
17,731
NorthWestern
Corporation
1,156,061
62,156
OGE
Energy
Corporation
2,011,368
10,406
Otter
Tail
Corporation
480,445
3,503
Pinnacle
West
Capital
Corporation
284,969
25,726
Portland
General
Electric
Company
1,221,213
2,187
PPL
Corporation
63,073
9,600
Sempra
Energy
1,272,768
6,673
Southwest
Gas
Holdings,
Inc.
458,502
22,700
Spire,
Inc.
1,677,303
33,386
UGI
Corporation
1,369,160
8,894
Unitil
Corporation
406,367
15,596
WEC
Energy
Group,
Inc.
1,459,630
Total
41,038,944
Total
Common
Stock
(cost
$2,047,043,220)
3,148,969,372
Principal
Amount
Long-Term
Fixed
Income
(
23.7%
)
Value
Asset-Backed
Securities
(1.5%)
522
Funding
CLO,
Ltd.
$
3,000,000
1.824%, 
(LIBOR
3M
+
1.600%),
4/20/2030,
Ser.
2019-4A,
Class
BR
b,i
$
3,000,003
Access
Group,
Inc.
308,523
0.609%, 
(LIBOR
1M
+
0.500%),
2/25/2036,
Ser.
2013-1,
Class
A
b,i
305,547
Aimco
CLO
10,
Ltd.
3,100,000
1.542%, 
(LIBOR
3M
+
1.320%),
7/22/2032,
Ser.
2019-10A,
Class
A
b,i
3,101,736
Aimco
CLO
11,
Ltd.
4,600,000
1.605%, 
(LIBOR
3M
+
1.380%),
10/15/2031,
Ser.
2020-11A,
Class
A1
b,i
4,608,289
Ares
CLO,
Ltd.
4,250,000
1.623%, 
(LIBOR
3M
+
1.400%),
10/17/2030,
Ser.
2018-28RA,
Class
A2
b,i
4,250,370
Ares
XXXIIR
CLO,
Ltd.
2,750,000
1.134%, 
(LIBOR
3M
+
0.940%),
5/15/2030,
Ser.
2014-32RA,
Class
A1A
b,i
2,750,030
3,450,000
2.194%, 
(LIBOR
3M
+
2.000%),
5/15/2030,
Ser.
2014-32RA,
Class
A2BR
b,i
3,452,001
Buttermilk
Park
CLO,
Ltd.
7,100,000
1.641%, 
(LIBOR
3M
+
1.400%),
10/15/2031,
Ser.
2018-1A,
Class
A2
b,i
7,100,483
Carlyle
Global
Market
Strategies
CLO,
Ltd.
4,650,000
1.691%, 
(LIBOR
3M
+
1.450%),
7/15/2031,
Ser.
2014-5A,
Class
A2RR
b,i
4,650,219
CarVal
CLO
II,
Ltd.
2,775,000
1.694%, 
(LIBOR
3M
+
1.500%),
4/20/2032,
Ser.
2019-1A,
Class
BR
b,i
2,774,886
1,600,000
2.194%, 
(LIBOR
3M
+
2.000%),
4/20/2032,
Ser.
2019-1A,
Class
CR
b,i
1,596,002
CBAM,
Ltd.
4,500,000
1.521%, 
(LIBOR
3M
+
1.280%),
2/12/2030,
Ser.
2019-9A,
Class
A
b,i
4,500,175
Cent
CLO,
LP
1,025,000
2.518%, 
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
b,i
1,025,155
CIFC
Funding,
Ltd.
1,625,000
1.805%, 
(LIBOR
3M
+
1.600%),
10/20/2031,
Ser.
2020-3A,
Class
A2
b,i
1,628,999
Colony
American
Finance
Trust
4,797,174
2.835%, 
6/15/2052,
Ser.
2019-2,
Class
A
i
5,045,901
Commonbond
Student
Loan
Trust
559,312
0.609%, 
(LIBOR
1M
+
0.500%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,i
555,511
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
208
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Asset-Backed
Securities
(1.5%)
-
continued
CoreVest
American
Finance
Trust
$
4,948,514
2.705%, 
10/15/2052,
Ser.
2019-3,
Class
A
i
$
5,155,117
Dryden
36
Senior
Loan
Fund
2,325,000
2.291%, 
(LIBOR
3M
+
2.050%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,i
2,325,163
Dryden
Senior
Loan
Fund
3,950,000
1.623%, 
(LIBOR
3M
+
1.400%),
7/18/2030,
Ser.
2018-65A,
Class
A2
b,i
3,950,363
Earnest
Student
Loan
Program
2016-D,
LLC
389,208
2.720%, 
1/25/2041,
Ser.
2016-D,
Class
A2
i
390,142
ECMC
Group
Student
Loan
Trust
2,808,529
1.259%, 
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
b,i
2,837,208
Flatiron
CLO,
Ltd.
1,625,000
1.998%, 
(LIBOR
3M
+
1.750%),
11/20/2033,
Ser.
2020-1A,
Class
B
b,i
1,634,037
Galaxy
XIX
CLO,
Ltd.
2,175,000
2.033%, 
(LIBOR
3M
+
1.850%),
7/24/2030,
Ser.
2015-19A,
Class
BRR
b,i
2,175,224
Galaxy
XX
CLO,
Ltd.
4,500,000
1.224%, 
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-20A,
Class
AR
b,i
4,494,136
Golub
Capital
Partners,
Ltd.
2,500,000
1.404%, 
(LIBOR
3M
+
1.180%),
1/20/2031,
Ser.
2015-22A,
Class
AR
b,i
2,494,262
3,683,000
1.424%, 
(LIBOR
3M
+
1.200%),
1/20/2031,
Ser.
2015-23A,
Class
AR
b,i
3,675,700
Goodgreen
3,427,719
3.860%, 
10/15/2054,
Ser.
2019-1A,
Class
A
i
3,597,426
Home
Partners
of
America
Trust
5,398,798
2.908%, 
9/17/2039,
Ser.
2019-1,
Class
A
i
5,465,161
5,271,852
2.703%, 
10/19/2039,
Ser.
2019-2,
Class
A
i
5,331,635
Laurel
Road
Prime
Student
Loan
Trust
844,533
2.810%, 
11/25/2042,
Ser.
2017-C,
Class
A2B
i
857,939
2,554,068
5.600%, 
11/25/2043,
Ser.
2018-D,
Class
A
b,i
2,647,474
Madison
Park
Funding
XIV,
Ltd.
3,125,000
1.622%, 
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,i
3,125,141
Madison
Park
Funding,
Ltd.
2,700,000
2.300%, 
(LIBOR
3M
+
2.100%),
1/20/2029,
Ser.
2012-10A,
Class
CR3
b,i
2,700,235
Magnetite
XII,
Ltd.
4,425,000
1.341%, 
(LIBOR
3M
+
1.100%),
10/15/2031,
Ser.
2015-12A,
Class
ARR
b,i
4,425,248
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Asset-Backed
Securities
(1.5%)
-
continued
Mercury
Financial
Credit
Card
Master
Trust
$
2,300,000
1.540%, 
3/20/2026,
Ser.
2021-1A,
Class
A
i
$
2,300,348
Mountain
View
CLO,
Ltd.
3,175,000
1.361%, 
(LIBOR
3M
+
1.120%),
7/15/2031,
Ser.
2015-9A,
Class
A1R
b,i
3,169,444
MRA
Issuance
Trust
5,675,000
1.456%, 
(LIBOR
1M
+
1.350%),
7/15/2021,
Ser.
2020-12,
Class
A1X
b,i
5,676,030
National
Collegiate
Trust
1,400,858
0.404%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,i
1,375,587
Neuberger
Berman
CLO,
Ltd.
1,350,000
1.252%, 
(LIBOR
3M
+
1.030%),
4/22/2029,
Ser.
2014-17A,
Class
AR2
b,i
1,350,285
Octagon
Investment
Partners
32,
Ltd.
3,400,000
2.235%, 
(LIBOR
3M
+
2.050%),
7/15/2029,
Ser.
2017-1A,
Class
CR
b,d,i
3,400,000
1,450,000
2.491%, 
(LIBOR
3M
+
2.250%),
7/15/2029,
Ser.
2017-1A,
Class
C
b,i
1,450,155
Octagon
Investment
Partners
XVI,
Ltd.
750,000
1.623%, 
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2013-1A,
Class
A2R
b,i
750,061
OZLM
IX,
Ltd.
1,650,000
1.774%, 
(LIBOR
3M
+
1.550%),
10/20/2031,
Ser.
2014-9A,
Class
A1BR
b,i
1,650,305
OZLM
VIII,
Ltd.
1,289,848
1.393%, 
(LIBOR
3M
+
1.170%),
10/17/2029,
Ser.
2014-8A,
Class
A1RR
b,i
1,289,941
Palmer
Square
CLO,
Ltd.
3,600,000
2.241%, 
(LIBOR
3M
+
2.000%),
5/21/2029,
Ser.
2015-1A,
Class
BR3
b,i
3,590,633
Palmer
Square
Loan
Funding,
Ltd.
2,259,349
1.074%, 
(LIBOR
3M
+
0.850%),
1/20/2027,
Ser.
2018-5A,
Class
A1
b,i
2,259,520
2,200,000
1.874%, 
(LIBOR
3M
+
1.650%),
4/20/2027,
Ser.
2019-1A,
Class
A2
b,i
2,200,297
Pretium
Mortgage
Credit
Partners,
LLC
2,573,302
3.721%, 
2/27/2060,
Ser.
2020-NPL2,
Class
A1
i,j
2,595,644
Saxon
Asset
Securities
Trust
1,204,048
3.672%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
1,163,002
Shackleton
CLO,
Ltd.
3,000,000
1.411%, 
(LIBOR
3M
+
1.170%),
7/15/2031,
Ser.
2015-7RA,
Class
A1
b,i
3,000,042
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
209
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Asset-Backed
Securities
(1.5%)
-
continued
SLM
Student
Loan
Trust
$
1,186,034
0.509%, 
(LIBOR
1M
+
0.400%),
3/25/2025,
Ser.
2010-1,
Class
A
b
$
1,165,991
Sound
Point
CLO
XIV,
Ltd.
3,400,000
2.221%, 
(LIBOR
3M
+
2.050%),
1/23/2029,
Ser.
2016-3A,
Class
CR
b,i
3,388,477
Sound
Point
CLO
XV,
Ltd.
3,400,000
2.235%, 
(LIBOR
3M
+
2.050%),
1/23/2029,
Ser.
2017-1A,
Class
CR
b,d,i
3,400,000
Sound
Point
CLO
XXI,
Ltd.
2,000,000
1.665%, 
(LIBOR
3M
+
1.450%),
10/26/2031,
Ser.
2018-3A,
Class
A1B
b,i
2,000,180
THL
Credit
Wind
River
CLO,
Ltd.
1,225,000
1.654%, 
(LIBOR
3M
+
1.430%),
10/20/2033,
Ser.
2020-1A,
Class
A
b,i
1,230,341
U.S.
Small
Business
Administration
122,941
3.191%, 
3/10/2024,
Ser.
2014-10A,
Class
1
126,534
Upstart
Securitization
Trust
1,928,084
1.702%, 
11/20/2030,
Ser.
2020-3,
Class
A
i
1,943,317
VCAT
Asset
Securitization,
LLC
1,450,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
i,j
1,447,002
Vericrest
Opportunity
Loan
Trust
3,500,000
4.336%, 
2/25/2050,
Ser.
2020-NPL2,
Class
A2
i,j
3,477,514
Voya
CLO,
Ltd.
2,096,725
1.441%, 
(LIBOR
3M
+
1.200%),
10/15/2030,
Ser.
2012-4A,
Class
A1AR
b,i
2,096,754
Whitebox
CLO
II,
Ltd.
1,900,000
2.492%, 
(LIBOR
3M
+
2.250%),
10/24/2031,
Ser.
2020-2A,
Class
B
b,i
1,903,990
Total
167,028,312
Basic
Materials
(0.3%)
Air
Products
and
Chemicals,
Inc.
1,500,000
2.700%, 
5/15/2040
1,434,762
Alcoa
Nederland
Holding
BV
700,000
5.500%, 
12/15/2027
i
753,480
Anglo
American
Capital
plc
1,115,000
4.875%, 
5/14/2025
i
1,259,307
BWAY
Holding
Company
640,000
5.500%, 
4/15/2024
i
648,800
Chemours
Company
360,000
5.750%, 
11/15/2028
i
379,049
Cleveland-Cliffs,
Inc.
450,000
5.875%, 
6/1/2027
465,750
290,000
4.625%, 
3/1/2029
i
289,507
290,000
4.875%, 
3/1/2031
i
289,275
Consolidated
Energy
Finance
SA
510,000
6.875%, 
6/15/2025
i
519,563
Dow
Chemical
Company
650,000
4.800%, 
11/30/2028
762,286
DowDuPont,
Inc.
575,000
4.493%, 
11/15/2025
649,838
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Basic
Materials
(0.3%)
-
continued
First
Quantum
Minerals,
Ltd.
$
950,000
7.500%, 
4/1/2025
i
$
980,875
Freeport-McMoRan,
Inc.
660,000
4.125%, 
3/1/2028
693,792
710,000
4.250%, 
3/1/2030
756,150
Glencore
Funding,
LLC
217,000
4.125%, 
5/30/2023
i
232,053
1,343,000
4.000%, 
3/27/2027
i
1,480,078
Hecla
Mining
Company
220,000
7.250%, 
2/15/2028
235,950
Hudbay
Minerals,
Inc.
510,000
4.500%, 
4/1/2026
i
530,048
Ingevity
Corporation
770,000
3.875%, 
11/1/2028
i
746,900
International
Paper
Company
1,888,000
4.350%, 
8/15/2048
2,182,126
Kinross
Gold
Corporation
770,000
5.950%, 
3/15/2024
866,082
360,000
4.500%, 
7/15/2027
405,479
Kraton
Polymers,
LLC
680,000
4.250%, 
12/15/2025
i
682,550
Mercer
International,
Inc.
500,000
5.125%, 
2/1/2029
i
518,000
Norbord,
Inc.
610,000
5.750%, 
7/15/2027
i
650,138
Novelis
Corporation
485,000
5.875%, 
9/30/2026
i
506,219
290,000
4.750%, 
1/30/2030
i
298,903
OCI
NV
770,000
4.625%, 
10/15/2025
i
795,988
Olin
Corporation
925,000
5.125%, 
9/15/2027
957,375
Steel
Dynamics,
Inc.
1,500,000
1.650%, 
10/15/2027
1,468,617
Syngenta
Finance
NV
1,375,000
3.933%, 
4/23/2021
i
1,377,541
Teck
Resources,
Ltd.
1,267,000
6.125%, 
10/1/2035
1,553,241
Tronox
Finance
plc
410,000
5.750%, 
10/1/2025
i
427,683
United
States
Steel
Corporation
810,000
6.875%, 
3/1/2029
828,225
Vale
Overseas,
Ltd.
1,135,000
6.250%, 
8/10/2026
1,350,083
514,000
6.875%, 
11/21/2036
683,139
Venator
Finance
SARL
520,000
5.750%, 
7/15/2025
i
504,400
Total
29,163,252
Capital
Goods
(0.4%)
AECOM
860,000
5.125%, 
3/15/2027
935,787
Amsted
Industries,
Inc.
570,000
5.625%, 
7/1/2027
i
604,912
Ardagh
Packaging
Finance
plc
499,000
6.000%, 
2/15/2025
i
514,219
730,000
5.250%, 
8/15/2027
i
744,658
BAE
Systems
plc
1,850,000
1.900%, 
2/15/2031
i
1,735,947
Boeing
Company
580,000
5.930%, 
5/1/2060
744,213
895,000
5.040%, 
5/1/2027
1,020,361
712,000
5.150%, 
5/1/2030
820,043
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
210
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Capital
Goods
(0.4%)
-
continued
$
1,475,000
5.705%, 
5/1/2040
$
1,804,997
Bombardier,
Inc.
495,000
7.500%, 
3/15/2025
i
486,956
495,000
7.875%, 
4/15/2027
i
485,442
Brand
Industrial
Services,
Inc.
255,000
8.500%, 
7/15/2025
i
256,989
BWAY
Holding
Company
515,000
7.250%, 
4/15/2025
i
515,000
Carrier
Global
Corporation
720,000
3.577%, 
4/5/2050
707,037
1,050,000
2.700%, 
2/15/2031
1,049,686
Cintas
Corporation
No.
2
1,125,000
3.700%, 
4/1/2027
1,249,246
CNH
Industrial
NV
915,000
3.850%, 
11/15/2027
1,011,821
Cornerstone
Building
Brands,
Inc.
695,000
6.125%, 
1/15/2029
i
740,175
Covanta
Holding
Corporation
510,000
6.000%, 
1/1/2027
532,313
180,000
5.000%, 
9/1/2030
181,800
CP
Atlas
Buyer,
Inc.
465,000
7.000%, 
12/1/2028
i
488,738
Crown
Cork
&
Seal
Company,
Inc.
780,000
7.375%, 
12/15/2026
938,925
Emerson
Electric
Company
1,500,000
1.800%, 
10/15/2027
1,505,859
GFL
Environmental,
Inc.
180,000
4.000%, 
8/1/2028
i
174,150
515,000
3.500%, 
9/1/2028
i
499,550
H&E
Equipment
Services,
Inc.
570,000
3.875%, 
12/15/2028
i
554,325
Howmet
Aerospace,
Inc.
660,000
6.875%, 
5/1/2025
764,775
Ingersoll-Rand
Luxembourg
Finance
SA
775,000
3.500%, 
3/21/2026
841,241
Jeld-Wen,
Inc.
650,000
4.625%, 
12/15/2025
i
658,125
L3Harris
Technologies,
Inc.
2,150,000
3.950%, 
5/28/2024
2,333,263
Lockheed
Martin
Corporation
544,000
4.500%, 
5/15/2036
656,457
374,000
6.150%, 
9/1/2036
521,119
Meritor,
Inc.
360,000
4.500%, 
12/15/2028
i
361,080
NESCO
Holdings
II,
Inc.
170,000
5.500%, 
4/15/2029
d,i
174,386
Northrop
Grumman
Corporation
2,575,000
3.850%, 
4/15/2045
2,770,922
Owens-Brockway
Glass
Container,
Inc.
460,000
5.875%, 
8/15/2023
i
492,775
Raytheon
Technologies
Corporation
720,000
4.125%, 
11/16/2028
810,816
Republic
Services,
Inc.
1,100,000
2.900%, 
7/1/2026
1,173,074
Roper
Technologies,
Inc.
668,000
4.200%, 
9/15/2028
752,615
945,000
1.750%, 
2/15/2031
877,520
SRM
Escrow
Issuer,
LLC
650,000
6.000%, 
11/1/2028
i
681,200
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Capital
Goods
(0.4%)
-
continued
Standard
Industries,
Inc.
$
980,000
4.375%, 
7/15/2030
i
$
988,820
Textron,
Inc.
1,010,000
3.375%, 
3/1/2028
1,061,596
Titan
Acquisition,
Ltd.
220,000
7.750%, 
4/15/2026
i
228,514
TransDigm,
Inc.
500,000
6.250%, 
3/15/2026
i
530,100
1,410,000
5.500%, 
11/15/2027
1,459,533
140,000
4.625%, 
1/15/2029
i
138,047
United
Rentals
North
America,
Inc.
710,000
4.875%, 
1/15/2028
747,893
430,000
4.000%, 
7/15/2030
437,633
United
Technologies
Corporation
900,000
4.450%, 
11/16/2038
1,042,716
1,200,000
3.750%, 
11/1/2046
1,279,007
Waste
Pro
USA,
Inc.
255,000
5.500%, 
2/15/2026
i
261,056
WESCO
Distribution,
Inc.
560,000
7.250%, 
6/15/2028
i
625,181
Total
42,972,613
Collateralized
Mortgage
Obligations
(1.1%)
Alternative
Loan
Trust
681,236
6.000%, 
8/1/2036,
Ser.
2006-24CB,
Class
A9
544,420
Bellemeade
Re,
Ltd.
634,720
1.709%, 
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,i
634,918
1,152,833
1.209%, 
(LIBOR
1M
+
1.100%),
7/25/2029,
Ser.
2019-3A,
Class
M1A
b,i
1,153,304
2,750,000
1.767%, 
(SOFR30A
+
1.750%),
3/25/2031,
Ser.
2021-1A,
Class
M1A
b,i
2,749,272
BRAVO
Residential
Funding
Trust
321,966
3.500%, 
3/25/2058,
Ser.
2019-1,
Class
A1C
i
330,953
Business
Jet
Securities,
LLC
2,553,745
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
i
2,585,105
Citicorp
Mortgage
Securities,
Inc.
2,463,959
6.000%, 
7/25/2037,
Ser.
2007-6,
Class
1A4
2,453,328
Countrywide
Alternative
Loan
Trust
757,831
2.746%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
b
726,983
1,899,215
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
1,002,182
Countrywide
Home
Loans,
Inc.
446,749
5.750%, 
4/25/2037,
Ser.
2007-3,
Class
A27
324,429
Credit
Suisse
Mortgage
Trust
1,147,038
3.453%, 
3/25/2026,
Ser.
2020-BPL2,
Class
A1
i
1,145,472
3,369,761
3.850%, 
9/25/2057,
Ser.
2018-RPL9,
Class
A1
b,i
3,573,310
7,792,255
3.471%, 
2/25/2060,
Ser.
2020-RPL2,
Class
A12
b,i
7,883,120
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
211
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Collateralized
Mortgage
Obligations
(1.1%)
-
continued
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
$
165,864
6.000%, 
10/25/2021,
Ser.
2006-AR5,
Class
23A
$
145,521
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
33,437,173
2.000%, 
11/25/2050,
Ser.
5038,
Class
NI
k
4,275,260
1,641,906
4.000%, 
7/15/2031,
Ser.
4104,
Class
KI
k
85,937
1,964,710
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
k
203,632
3,588,352
3.000%, 
3/15/2033,
Ser.
4180,
Class
PI
k
414,842
Federal
National
Mortgage
Association
44,810,512
1.500%, 
11/25/2035,
Ser.
2020-99,
Class
IG
k
2,508,878
Federal
National
Mortgage
Association
-
REMIC
5,913,411
3.000%, 
12/25/2027,
Ser.
2012-137,
Class
AI
k
338,426
Foundation
Finance
Trust
2,900,000
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
i
2,883,135
FWD
Securitization
Trust
2,779,808
2.810%, 
6/25/2049,
Ser.
2019-INV1,
Class
A1
b,i
2,877,790
Galton
Funding
Mortgage
Trust
2017-1
822,913
4.500%, 
10/25/2058,
Ser.
2018-2,
Class
A41
b,i
831,762
GS
Mortgage-Backed
Securities
Trust
758,803
2.625%, 
1/25/2059,
Ser.
2019-SL1,
Class
A1
b,i
770,537
J.P.
Morgan
Alternative
Loan
Trust
1,003,462
6.500%, 
3/25/2036,
Ser.
2006-S1,
Class
1A19
804,833
Legacy
Mortgage
Asset
Trust
696,102
3.250%, 
2/25/2060,
Ser.
2020-GS4,
Class
A1
i,j
703,959
LHOME
Mortgage
Trust
2,900,000
2.090%, 
9/25/2026,
Ser.
2021-RTL1,
Class
A1
b,i
2,898,132
MASTR
Alternative
Loans
Trust
1,240,776
0.559%, 
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
b
182,662
Merrill
Lynch
Alternative
Note
Asset
Trust
408,407
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
254,139
MRA
Issuance
Trust
2,100,000
1.853%, 
(LIBOR
1M
+
1.750%),
10/8/2021,
Ser.
2021-EBO1,
Class
A1X
b,e,i
2,100,000
5,750,000
1.259%, 
(LIBOR
1M
+
1.150%),
10/15/2021,
Ser.
2021-8,
Class
A1X
b,e,i
5,750,000
New
York
Mortgage
Trust
2,829,311
2.944%, 
10/25/2060,
Ser.
2020-SP2,
Class
A1
b,i
2,840,208
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Collateralized
Mortgage
Obligations
(1.1%)
-
continued
Oak
Street
Investment
$
2,286,630
1.850%, 
11/20/2050,
Ser.
2020-1A,
Class
A1
i
$
2,295,878
Preston
Ridge
Partners
Mortgage
Trust,
LLC
2,590,809
3.500%, 
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,i
2,612,269
3,836,068
2.857%, 
9/25/2025,
Ser.
2020-3,
Class
A1
i,j
3,863,464
2,831,802
2.115%, 
1/25/2026,
Ser.
2021-1,
Class
A1
b,i
2,831,482
Pretium
Mortgage
Credit
Partners,
LLC
1,900,000
2.240%, 
9/27/2060,
Ser.
2021-NPL1,
Class
A1
e,i,j
1,900,000
RCO
Mortgage,
LLC
4,349,626
3.475%, 
11/25/2024,
Ser.
2019-2,
Class
A1
i,j
4,374,136
Renaissance
Home
Equity
Loan
Trust
3,385,880
5.580%, 
11/25/2036,
Ser.
2006-3,
Class
AF2
j
1,795,341
Residential
Accredit
Loans,
Inc.
Trust
1,177,410
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
1,151,208
Sequoia
Mortgage
Trust
1,028,789
3.114%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
b
800,701
Silver
Hill
Trust
1,392,493
3.102%, 
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,i
1,440,947
Starwood
Mortgage
Residential
Trust
925,163
2.718%, 
4/25/2060,
Ser.
2020-2,
Class
A1
b,i
940,979
Toorak
Mortgage
Corporation
2,750,000
4.458%, 
3/25/2022,
Ser.
2019-1,
Class
A1
i,j
2,779,869
8,500,000
3.721%, 
9/25/2022,
Ser.
2019-2,
Class
A1
8,620,771
1,750,000
2.734%, 
3/25/2023,
Ser.
2020-1,
Class
A1
i,j
1,754,039
Vericrest
Opportunity
Loan
Transferee
2,347,317
1.893%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A1
i,j
2,334,946
1,571,366
2.240%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A1
i,j
1,570,151
1,925,000
4.826%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A2
i,j
1,912,595
1,700,000
4.949%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A2
i,j
1,693,271
2,624,477
2.116%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A1
i,j
2,621,590
1,800,000
4.826%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A2
i,j
1,795,725
1,800,000
4.949%, 
3/27/2051,
Ser.
2021-NPL4,
Class
A2
i,j
1,795,410
1,900,000
4.949%, 
4/25/2051,
Ser.
2021-NPL7,
Class
A2
e,i,j
1,900,000
Verus
Securitization
Trust
1,016,809
3.345%, 
5/25/2059,
Ser.
2019-2,
Class
A2
b,i
1,018,934
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
212
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Collateralized
Mortgage
Obligations
(1.1%)
-
continued
$
2,617,659
2.913%, 
7/25/2059,
Ser.
2019-INV2,
Class
A1
b,i
$
2,667,253
2,085,722
2.947%, 
11/25/2059,
Ser.
2019-INV3,
Class
A2
b,i
2,123,821
1,539,930
1.977%, 
3/25/2060,
Ser.
2020-INV1,
Class
A1
b,i
1,562,783
4,985,291
3.626%, 
4/25/2060,
Ser.
2020-3,
Class
A1
b,i
5,076,784
WaMu
Mortgage
Pass
Through
Certificates
105,998
3.017%, 
9/25/2036,
Ser.
2006-AR10,
Class
1A2
b
103,248
426,124
3.035%, 
10/25/2036,
Ser.
2006-AR12,
Class
1A1
b
427,166
Total
121,741,210
Commercial
Mortgage-Backed
Securities
(0.2%)
BBCMS
Mortgage
Trust
18,970,600
1.852%, 
10/15/2053,
Ser.
2020-C8,
Class
XA
b,k
2,568,541
BFLD
Trust
3,000,000
1.256%, 
(LIBOR
1M
+
1.150%),
10/15/2035,
Ser.
2020-EYP,
Class
A
b,i
3,026,422
1,100,000
1.806%, 
(LIBOR
1M
+
1.700%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,i
1,111,002
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
1,186,221
3.000%, 
3/15/2045,
Ser.
4741,
Class
GA
1,227,049
GS
Mortgage
Securities
Trust
6,600,000
3.666%, 
9/10/2047,
Ser.
2014-GC24,
Class
A4
7,030,267
Morgan
Stanley
Capital
I
Trust
19,968,179
1.973%, 
7/15/2053,
Ser.
2020-HR8,
Class
XA
b,k
2,724,982
Total
17,688,263
Communications
Services
(0.7%)
AMC
Networks,
Inc.
640,000
4.250%, 
2/15/2029
622,400
American
Tower
Corporation
900,000
2.900%, 
1/15/2030
914,896
1,500,000
2.100%, 
6/15/2030
1,427,390
AT&T,
Inc.
1,532,000
3.500%, 
9/15/2053
i
1,415,776
1,500,000
2.300%, 
6/1/2027
1,533,014
825,000
4.350%, 
3/1/2029
933,222
1,475,000
5.250%, 
3/1/2037
1,779,553
1,460,000
4.900%, 
8/15/2037
1,728,044
575,000
5.550%, 
8/15/2041
715,793
CCO
Holdings,
LLC
900,000
5.125%, 
5/1/2027
i
951,583
940,000
4.750%, 
3/1/2030
i
974,075
CCOH
Safari,
LLC
906,000
5.750%, 
2/15/2026
i
934,765
Cengage
Learning,
Inc.
745,000
9.500%, 
6/15/2024
i
758,969
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Communications
Services
(0.7%)
-
continued
Charter
Communications
Operating,
LLC
$
700,000
4.500%, 
2/1/2024
$
765,618
1,000,000
4.200%, 
3/15/2028
1,102,286
1,400,000
3.500%, 
6/1/2041
1,327,736
1,425,000
6.484%, 
10/23/2045
1,855,366
Clear
Channel
Worldwide
Holdings,
Inc.
640,000
7.750%, 
4/15/2028
i
632,960
Comcast
Corporation
800,000
4.049%, 
11/1/2052
904,009
900,000
3.950%, 
10/15/2025
1,005,426
1,500,000
4.250%, 
10/15/2030
1,723,545
640,000
4.400%, 
8/15/2035
748,455
1,305,000
4.750%, 
3/1/2044
1,603,894
550,000
4.600%, 
8/15/2045
664,938
Consolidated
Communications,
Inc.
290,000
5.000%, 
10/1/2028
i
292,262
Cox
Communications,
Inc.
1,065,000
3.350%, 
9/15/2026
i
1,149,091
Crown
Castle
International
Corporation
1,121,000
3.200%, 
9/1/2024
1,203,805
CSC
Holdings,
LLC
1,280,000
5.375%, 
2/1/2028
i
1,345,600
Cumulus
Media
New
Holdings,
Inc.
480,000
6.750%, 
7/1/2026
g,i
489,000
Discovery
Communications,
LLC
1,850,000
4.900%, 
3/11/2026
2,108,132
DISH
DBS
Corporation
450,000
7.375%, 
7/1/2028
472,072
Embarq
Corporation
380,000
7.995%, 
6/1/2036
437,840
Entercom
Media
Corporation
470,000
6.500%, 
5/1/2027
g,i
485,862
Fox
Corporation
900,000
3.500%, 
4/8/2030
957,509
Front
Range
BidCo,
Inc.
660,000
4.000%, 
3/1/2027
i
648,450
465,000
6.125%, 
3/1/2028
i
477,206
Frontier
Communications
Corporation
410,000
5.875%, 
10/15/2027
i
434,600
170,000
6.750%, 
5/1/2029
i
179,299
GCI,
LLC
520,000
4.750%, 
10/15/2028
i
532,350
Hughes
Satellite
Systems
Corporation
270,000
6.625%, 
8/1/2026
299,187
iHeartCommunications,
Inc.
520,000
4.750%, 
1/15/2028
i
523,900
LCPR
Senior
Secured
Financing
DAC
450,000
6.750%, 
10/15/2027
i
479,768
Level
3
Financing,
Inc.
910,000
4.625%, 
9/15/2027
i
936,545
980,000
4.250%, 
7/1/2028
i
991,084
Ligado
Networks,
LLC
255,000
0.000%,PIK
15.500%,
11/1/2023
e,f,i
238,928
Meredith
Corporation
750,000
6.500%, 
7/1/2025
i
804,660
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
213
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Communications
Services
(0.7%)
-
continued
Netflix,
Inc.
$
1,340,000
4.875%, 
4/15/2028
$
1,515,875
Nexstar
Escrow
Corporation
750,000
5.625%, 
7/15/2027
i
786,090
Nielsen
Finance,
LLC
230,000
5.625%, 
10/1/2028
i
241,788
Omnicom
Group,
Inc.
750,000
3.600%, 
4/15/2026
821,873
435,000
4.200%, 
6/1/2030
489,530
Radiate
Holdco,
LLC
285,000
6.500%, 
9/15/2028
i
300,946
Scripps
Escrow
II,
Inc.
360,000
3.875%, 
1/15/2029
i
353,700
260,000
5.375%, 
1/15/2031
i
258,050
SFR
Group
SA
1,250,000
7.375%, 
5/1/2026
i
1,300,125
Sinclair
Television
Group,
Inc.
780,000
5.500%, 
3/1/2030
i
758,550
Sirius
XM
Radio,
Inc.
780,000
5.000%, 
8/1/2027
i
818,259
Sprint
Capital
Corporation
760,000
6.875%, 
11/15/2028
958,337
555,000
8.750%, 
3/15/2032
820,706
Sprint
Corporation
1,680,000
7.625%, 
2/15/2025
2,003,400
Terrier
Media
Buyer,
Inc.
385,000
8.875%, 
12/15/2027
i
414,279
T-Mobile
USA,
Inc.
1,450,000
3.750%, 
4/15/2027
i
1,585,082
255,000
2.875%, 
2/15/2031
246,458
1,100,000
4.375%, 
4/15/2040
i
1,222,166
United
States
Cellular
Corporation
460,000
6.700%, 
12/15/2033
557,147
Uniti
Group,
LP
255,000
6.500%, 
2/15/2029
i
251,813
Univision
Communications,
Inc.
980,000
6.625%, 
6/1/2027
i
1,046,567
VeriSign,
Inc.
400,000
4.750%, 
7/15/2027
424,500
Verizon
Communications,
Inc.
720,000
3.700%, 
3/22/2061
711,445
480,000
2.100%, 
3/22/2028
482,011
3,065,000
4.272%, 
1/15/2036
3,464,320
1,750,000
2.650%, 
11/20/2040
1,599,239
Viacom,
Inc.
1,140,000
5.850%, 
9/1/2043
1,456,017
ViaSat,
Inc.
740,000
5.625%, 
9/15/2025
i
752,180
Vodafone
Group
plc
700,000
4.875%, 
6/19/2049
831,730
VTR
Finance
NV
350,000
6.375%, 
7/15/2028
g,i
378,000
Walt
Disney
Company
1,400,000
2.200%, 
1/13/2028
1,430,565
1,000,000
2.650%, 
1/13/2031
1,020,735
1,700,000
3.500%, 
5/13/2040
1,797,564
Ziggo
BV
717,000
5.500%, 
1/15/2027
i
746,576
Total
74,356,486
Consumer
Cyclical
(0.6%)
1011778
B.C.,
ULC
780,000
4.375%, 
1/15/2028
i
783,682
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Consumer
Cyclical
(0.6%)
-
continued
Allied
Universal
Holdco,
LLC
$
570,000
6.625%, 
7/15/2026
i
$
604,474
Allison
Transmission,
Inc
740,000
3.750%, 
1/30/2031
i
716,875
Amazon.com,
Inc.
1,870,000
3.875%, 
8/22/2037
2,142,611
1,122,000
4.050%, 
8/22/2047
1,313,173
American
Axle
&
Manufacturing,
Inc.
820,000
6.500%, 
4/1/2027
g
850,750
American
Honda
Finance
Corporation
200,000
2.150%, 
9/10/2024
208,477
Brookfield
Residential
Properties,
Inc.
1,125,000
6.250%, 
9/15/2027
i
1,174,219
Caesars
Entertainment,
Inc.
170,000
8.125%, 
7/1/2027
i
187,467
Carnival
Corporation
550,000
11.500%, 
4/1/2023
i
630,437
390,000
10.500%, 
2/1/2026
i
458,737
180,000
7.625%, 
3/1/2026
i
193,374
580,000
5.750%, 
3/1/2027
i
595,225
Cedar
Fair,
LP
720,000
5.250%, 
7/15/2029
740,081
Cinemark
USA,
Inc.
600,000
5.875%, 
3/15/2026
i
614,364
Clarios
Global,
LP
255,000
8.500%, 
5/15/2027
i
274,444
Colt
Merger
Sub,
Inc.
1,180,000
6.250%, 
7/1/2025
i
1,257,898
CVS
Health
Corporation
1,500,000
3.625%, 
4/1/2027
1,646,356
D.R.
Horton,
Inc.
700,000
2.600%, 
10/15/2025
736,257
Dana,
Inc.
590,000
5.625%, 
6/15/2028
631,300
Empire
Communities
Corporation
540,000
7.000%, 
12/15/2025
i
569,025
Ford
Motor
Company
340,000
9.000%, 
4/22/2025
411,779
190,000
9.625%, 
4/22/2030
265,153
700,000
7.450%, 
7/16/2031
882,581
Ford
Motor
Credit
Company,
LLC
1,940,000
4.063%, 
11/1/2024
2,035,157
1,060,000
4.134%, 
8/4/2025
1,108,680
Gap,
Inc.
350,000
8.625%, 
5/15/2025
i
391,912
General
Motors
Company
1,425,000
6.125%, 
10/1/2025
1,675,669
1,500,000
6.800%, 
10/1/2027
1,860,844
General
Motors
Financial
Company,
Inc.
760,000
3.950%, 
4/13/2024
817,941
Hanesbrands,
Inc.
730,000
4.875%, 
5/15/2026
i
782,925
Herc
Holdings,
Inc.
480,000
5.500%, 
7/15/2027
i
510,816
Hilton
Domestic
Operating
Company,
Inc.
1,340,000
4.875%, 
1/15/2030
1,421,472
Home
Depot,
Inc.
505,000
5.400%, 
9/15/2040
669,018
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
214
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Consumer
Cyclical
(0.6%)
-
continued
$
1,140,000
4.250%, 
4/1/2046
$
1,341,560
970,000
3.900%, 
6/15/2047
1,090,175
Hyundai
Capital
America
945,000
1.250%, 
9/18/2023
i
951,835
1,150,000
1.800%, 
1/10/2028
i
1,099,657
International
Game
Technology
plc
600,000
5.250%, 
1/15/2029
i
625,800
KB
Home
650,000
4.800%, 
11/15/2029
680,875
Kohl's
Corporation
825,000
9.500%, 
5/15/2025
1,069,714
825,000
5.550%, 
7/17/2045
934,663
L
Brands,
Inc.
780,000
6.625%, 
10/1/2030
i
890,604
180,000
6.875%, 
11/1/2035
214,522
Landry's,
Inc.
580,000
6.750%, 
10/15/2024
i
586,479
Lennar
Corporation
650,000
4.875%, 
12/15/2023
710,014
1,450,000
4.750%, 
5/30/2025
1,614,937
Levi
Strauss
&
Company
750,000
3.500%, 
3/1/2031
i
723,750
Live
Nation
Entertainment,
Inc.
360,000
3.750%, 
1/15/2028
i
355,050
Marriott
International,
Inc.
775,000
5.750%, 
5/1/2025
889,307
Mastercard,
Inc.
1,070,000
3.950%, 
2/26/2048
1,210,633
Mattamy
Group
Corporation
780,000
5.250%, 
12/15/2027
i
816,075
McDonald's
Corporation
1,500,000
2.125%, 
3/1/2030
1,464,545
755,000
4.450%, 
3/1/2047
877,473
MGM
Resorts
International
1,260,000
6.000%, 
3/15/2023
1,349,775
Owl
Rock
Capital
Corporation
1,425,000
3.400%, 
7/15/2026
1,443,352
PetSmart,
Inc.
400,000
4.750%, 
2/15/2028
i
409,084
440,000
7.750%, 
2/15/2029
i
476,278
Prime
Security
Services
Borrower,
LLC
1,260,000
5.750%, 
4/15/2026
i
1,363,383
Real
Hero
Merger
Sub
2,
Inc.
385,000
6.250%, 
2/1/2029
i
397,512
Realogy
Group,
LLC
630,000
5.750%, 
1/15/2029
i
621,337
Rite
Aid
Corporation
255,000
7.500%, 
7/1/2025
i
264,881
Royal
Caribbean
Cruises,
Ltd.
740,000
9.125%, 
6/15/2023
i
815,428
280,000
11.500%, 
6/1/2025
i
326,550
270,000
5.500%, 
4/1/2028
i
271,350
Scientific
Games
International,
Inc.
910,000
5.000%, 
10/15/2025
i
942,487
610,000
7.250%, 
11/15/2029
i
661,850
SeaWorld
Parks
and
Entertainment,
Inc.
360,000
9.500%, 
8/1/2025
i
391,257
Six
Flags
Entertainment
Corporation
380,000
5.500%, 
4/15/2027
g,i
393,775
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Consumer
Cyclical
(0.6%)
-
continued
Six
Flags
Theme
Parks,
Inc.
$
360,000
7.000%, 
7/1/2025
i
$
389,250
Staples,
Inc.
970,000
7.500%, 
4/15/2026
i
1,023,108
Target
Corporation
1,300,000
2.250%, 
4/15/2025
1,362,028
Tenneco,
Inc.
360,000
5.000%, 
7/15/2026
g
339,300
TJX
Companies,
Inc.
875,000
3.875%, 
4/15/2030
974,250
Uber
Technologies,
Inc.
385,000
6.250%, 
1/15/2028
i
419,342
ViacomCBS,
Inc.
1,400,000
4.200%, 
5/19/2032
1,564,925
Visa,
Inc.
1,500,000
2.700%, 
4/15/2040
1,468,998
Vista
Outdoor,
Inc.
630,000
4.500%, 
3/15/2029
i
623,357
Walmart,
Inc.
1,300,000
3.250%, 
7/8/2029
1,422,172
Wyndham
Destinations,
Inc.
470,000
6.625%, 
7/31/2026
i
533,615
Wyndham
Hotels
&
Resorts,
Inc.
280,000
4.375%, 
8/15/2028
i
283,220
Yum!
Brands,
Inc.
630,000
4.750%, 
1/15/2030
i
666,099
ZF
North
America
Capital,
Inc.
370,000
4.750%, 
4/29/2025
i
397,206
Total
68,906,010
Consumer
Non-Cyclical
(0.8%)
Abbott
Laboratories
1,445,000
4.750%, 
11/30/2036
1,788,081
AbbVie,
Inc.
875,000
2.950%, 
11/21/2026
931,596
1,475,000
4.300%, 
5/14/2036
1,700,382
550,000
4.850%, 
6/15/2044
668,141
726,000
4.700%, 
5/14/2045
859,854
1,700,000
4.875%, 
11/14/2048
2,047,496
Albertson's
Companies,
Inc.
340,000
7.500%, 
3/15/2026
i
375,569
935,000
3.500%, 
3/15/2029
i
889,783
Altria
Group,
Inc.
960,000
5.800%, 
2/14/2039
1,171,468
Amgen,
Inc.
1,500,000
3.375%, 
2/21/2050
1,499,366
100,000
3.125%, 
5/1/2025
107,470
Anheuser-Busch
Companies,
LLC
1,040,000
4.700%, 
2/1/2036
1,218,327
Anheuser-Busch
InBev
Worldwide,
Inc.
2,125,000
4.750%, 
4/15/2058
2,449,351
1,740,000
4.375%, 
4/15/2038
1,977,749
Anthem,
Inc.
1,185,000
3.125%, 
5/15/2050
1,130,781
820,000
4.625%, 
5/15/2042
968,188
Aramark
Services,
Inc.
390,000
6.375%, 
5/1/2025
g,i
413,400
AstraZeneca
plc
1,050,000
1.375%, 
8/6/2030
963,084
BAT
Capital
Corporation
1,496,000
4.540%, 
8/15/2047
1,506,304
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
215
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Consumer
Non-Cyclical
(0.8%)
-
continued
Bausch
Health
Companies,
Inc.
$
230,000
5.000%, 
1/30/2028
i
$
232,875
820,000
5.000%, 
2/15/2029
i
814,362
Baxalta,
Inc.
721,000
4.000%, 
6/23/2025
799,185
Becton,
Dickinson
and
Company
725,000
3.794%, 
5/20/2050
770,273
900,000
3.700%, 
6/6/2027
992,717
Campbell
Soup
Company
450,000
2.375%, 
4/24/2030
440,127
Cargill,
Inc.
650,000
3.250%, 
5/23/2029
i
696,952
Centene
Corporation
530,000
4.625%, 
12/15/2029
573,622
730,000
3.000%, 
10/15/2030
728,788
300,000
2.500%, 
3/1/2031
286,506
Central
Garden
&
Pet
Company
650,000
4.125%, 
10/15/2030
656,500
Cigna
Corporation
1,500,000
4.800%, 
8/15/2038
1,792,796
Community
Health
Systems,
Inc.
255,000
5.625%, 
3/15/2027
i
267,112
360,000
6.000%, 
1/15/2029
i
380,700
680,000
6.875%, 
4/15/2029
i
711,872
Conagra
Brands,
Inc.
1,210,000
4.300%, 
5/1/2024
1,334,274
Constellation
Brands,
Inc.
1,450,000
3.600%, 
2/15/2028
1,576,895
600,000
2.875%, 
5/1/2030
613,064
CVS
Health
Corporation
2,560,000
4.875%, 
7/20/2035
3,012,346
DaVita,
Inc.
910,000
4.625%, 
6/1/2030
i
927,163
DENTSPLY
SIRONA,
Inc.
210,000
3.250%, 
6/1/2030
219,567
Edgewell
Personal
Care
Company
380,000
5.500%, 
6/1/2028
i
401,280
Encompass
Health
Corporation
1,030,000
4.500%, 
2/1/2028
1,054,844
Endo
Finance,
LLC
340,000
9.500%, 
7/31/2027
i
369,325
Energizer
Holdings,
Inc.
590,000
4.750%, 
6/15/2028
i
608,437
General
Mills,
Inc.
715,000
2.875%, 
4/15/2030
738,136
H.
J.
Heinz
Company
180,000
5.200%, 
7/15/2045
208,180
HCA,
Inc.
2,100,000
5.375%, 
2/1/2025
2,342,582
1,375,000
5.500%, 
6/15/2047
1,710,217
HLF
Financing
SARL,
LLC
550,000
7.250%, 
8/15/2026
i
576,125
Illumina,
Inc.
610,000
9.000%, 
7/1/2028
i
686,433
Imperial
Brands
Finance
plc
1,600,000
3.875%, 
7/26/2029
i
1,701,306
JBS
Investments
II
GmbH
190,000
5.750%, 
1/15/2028
i
200,450
JBS
USA,
LLC
640,000
5.500%, 
1/15/2030
i
708,317
Keurig
Dr
Pepper,
Inc.
775,000
3.350%, 
3/15/2051
771,882
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Consumer
Non-Cyclical
(0.8%)
-
continued
Keurig
Dr.
Pepper,
Inc.
$
1,125,000
3.200%, 
5/1/2030
$
1,190,392
Kimberly-Clark
Corporation
845,000
3.100%, 
3/26/2030
910,316
900,000
3.900%, 
5/4/2047
1,033,745
Kraft
Foods
Group,
Inc.
910,000
5.000%, 
6/4/2042
1,024,115
Kraft
Heinz
Foods
Company
1,140,000
4.625%, 
1/30/2029
1,279,460
1,010,000
3.750%, 
4/1/2030
1,071,960
90,000
4.250%, 
3/1/2031
99,084
Mattel,
Inc.
605,000
3.375%, 
4/1/2026
i
624,626
Medtronic,
Inc.
105,000
4.625%, 
3/15/2045
132,413
Molina
Healthcare,
Inc.
670,000
4.375%, 
6/15/2028
i
689,403
Mondelez
International,
Inc.
425,000
2.750%, 
4/13/2030
433,898
MPH
Acquisition
Holdings,
LLC
400,000
5.750%, 
11/1/2028
g,i
390,000
Mylan,
Inc.
1,570,000
4.550%, 
4/15/2028
1,772,994
Ortho-Clinical
Diagnostics,
Inc.
385,000
7.250%, 
2/1/2028
i
421,829
Par
Pharmaceutical,
Inc.
910,000
7.500%, 
4/1/2027
i
965,192
Pilgrim's
Pride
Corporation
370,000
5.875%, 
9/30/2027
i
396,529
Quest
Diagnostics,
Inc.
1,400,000
2.800%, 
6/30/2031
1,422,995
Reynolds
American,
Inc.
759,000
5.700%, 
8/15/2035
900,215
Roche
Holdings,
Inc.
1,158,000
4.000%, 
11/28/2044
i
1,359,247
Royalty
Pharma
plc
1,050,000
3.550%, 
9/2/2050
i
1,000,597
Scotts
Miracle-Gro
Company
620,000
4.500%, 
10/15/2029
639,189
SEG
Holding,
LLC
740,000
5.625%, 
10/15/2028
i
775,150
Simmons
Foods,
Inc.
360,000
4.625%, 
3/1/2029
i
363,157
Smithfield
Foods,
Inc.
60,000
2.650%, 
10/3/2021
i
60,451
Spectrum
Brands,
Inc.
310,000
5.000%, 
10/1/2029
i
327,050
280,000
5.500%, 
7/15/2030
i
299,600
Syneos
Health,
Inc.
560,000
3.625%, 
1/15/2029
i
544,600
Sysco
Corporation
1,300,000
6.600%, 
4/1/2040
1,813,540
Teleflex,
Inc.
770,000
4.250%, 
6/1/2028
i
797,913
Tenet
Healthcare
Corporation
510,000
4.625%, 
7/15/2024
520,552
1,340,000
5.125%, 
11/1/2027
i
1,401,238
255,000
6.125%, 
10/1/2028
i
266,156
Teva
Pharmaceutical
Finance
Netherlands
III
BV
820,000
2.800%, 
7/21/2023
816,351
Thermo
Fisher
Scientific,
Inc.
900,000
4.133%, 
3/25/2025
999,402
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
216
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Consumer
Non-Cyclical
(0.8%)
-
continued
Tyson
Foods,
Inc.
$
748,000
3.550%, 
6/2/2027
$
816,697
United
Natural
Foods,
Inc.
515,000
6.750%, 
10/15/2028
i
550,406
UnitedHealth
Group,
Inc.
815,000
2.950%, 
10/15/2027
874,829
1,450,000
4.625%, 
7/15/2035
1,770,302
VRX
Escrow
Corporation
1,940,000
6.125%, 
4/15/2025
i
1,988,888
Zoetis,
Inc.
740,000
4.700%, 
2/1/2043
892,893
Total
86,208,974
Energy
(0.6%)
Antero
Midstream
Partners,
LP
270,000
5.750%, 
3/1/2027
i
270,059
Antero
Resources
Corporation
540,000
5.000%, 
3/1/2025
g
540,416
Apache
Corporation
620,000
4.375%, 
10/15/2028
618,140
460,000
5.100%, 
9/1/2040
449,650
Archrock
Partners,
LP
570,000
6.250%, 
4/1/2028
i
579,006
BP
Capital
Markets
America,
Inc.
1,700,000
2.939%, 
6/4/2051
1,516,204
700,000
3.543%, 
4/6/2027
766,169
Buckeye
Partners,
LP
380,000
4.125%, 
3/1/2025
i
387,711
380,000
3.950%, 
12/1/2026
375,615
Canadian
Natural
Resources,
Ltd.
440,000
2.050%, 
7/15/2025
444,924
525,000
2.950%, 
7/15/2030
523,642
Cenovus
Energy,
Inc.
240,000
5.375%, 
7/15/2025
269,715
Centennial
Resource
Production,
LLC
520,000
6.875%, 
4/1/2027
g,i
462,800
Cheniere
Energy
Partners,
LP
1,290,000
5.625%, 
10/1/2026
1,348,953
Chevron
USA,
Inc.
1,850,000
5.050%, 
11/15/2044
2,346,693
Cimarex
Energy
Company
1,050,000
4.375%, 
6/1/2024
1,141,948
CNX
Resources
Corporation
330,000
6.000%, 
1/15/2029
i
342,929
Comstock
Resources,
Inc.
400,000
9.750%, 
8/15/2026
434,000
ConocoPhillips
1,870,000
6.500%, 
2/1/2039
2,669,025
Continental
Resources,
Inc.
81,000
4.500%, 
4/15/2023
83,892
270,000
4.375%, 
1/15/2028
283,905
360,000
5.750%, 
1/15/2031
i
406,750
Diamondback
Energy,
Inc.
1,250,000
3.500%, 
12/1/2029
1,297,311
Enagas
SA
790,000
5.500%, 
1/15/2028
i
771,553
Encana
Corporation
270,000
6.625%, 
8/15/2037
324,692
Endeavor
Energy
Resources,
LP
380,000
5.750%, 
1/30/2028
i
401,402
Energean
Israel
Finance,
Ltd.
515,000
4.500%, 
3/30/2024
i
517,616
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Energy
(0.6%)
-
continued
Energy
Transfer
Operating,
LP
$
1,100,000
6.000%, 
6/15/2048
$
1,265,360
Energy
Transfer
Partners,
LP
970,000
4.900%, 
3/15/2035
1,022,762
800,000
5.150%, 
2/1/2043
817,204
EnLink
Midstream
Partners,
LP
580,000
4.850%, 
7/15/2026
560,297
360,000
5.600%, 
4/1/2044
298,800
EOG
Resources,
Inc.
1,150,000
4.375%, 
4/15/2030
1,320,218
EQM
Midstream
Partners,
LP
660,000
6.500%, 
7/1/2027
i
717,585
270,000
6.500%, 
7/15/2048
269,325
EQT
Corporation
850,000
3.900%, 
10/1/2027
867,000
Equinor
ASA
750,000
3.000%, 
4/6/2027
803,183
Exxon
Mobil
Corporation
1,450,000
3.452%, 
4/15/2051
1,464,285
Genesis
Energy,
LP
270,000
6.500%, 
10/1/2025
264,667
Harvest
Midstream,
LP
670,000
7.500%, 
9/1/2028
i
720,049
Hess
Midstream
Operations,
LP
450,000
5.625%, 
2/15/2026
i
463,500
Hilcorp
Energy
I,
LP
540,000
5.750%, 
2/1/2029
i
544,725
Kinder
Morgan
Energy
Partners,
LP
1,870,000
6.500%, 
9/1/2039
2,421,030
Magellan
Midstream
Partners,
LP
1,070,000
5.000%, 
3/1/2026
1,226,488
Marathon
Oil
Corporation
1,175,000
4.400%, 
7/15/2027
1,293,462
Marathon
Petroleum
Corporation
994,000
4.750%, 
12/15/2023
1,091,733
846,000
6.500%, 
3/1/2041
1,124,712
MPLX,
LP
575,000
4.875%, 
12/1/2024
645,384
944,000
4.875%, 
6/1/2025
1,063,271
Murphy
Oil
Corporation
350,000
5.875%, 
12/1/2027
343,000
Nabors
Industries,
Ltd.
425,000
7.250%, 
1/15/2026
i
352,750
National
Fuel
Gas
Company
1,000,000
5.500%, 
1/15/2026
1,142,842
Newfield
Exploration
Company
1,185,000
5.625%, 
7/1/2024
1,302,701
700,000
5.375%, 
1/1/2026
771,418
NGL
Energy
Operating,
LLC
360,000
7.500%, 
2/1/2026
i
369,900
NGL
Energy
Partners,
LP
360,000
7.500%, 
11/1/2023
347,400
NuStar
Logistics,
LP
560,000
5.750%, 
10/1/2025
599,491
Occidental
Petroleum
Corporation
1,150,000
2.900%, 
8/15/2024
1,137,396
600,000
3.400%, 
4/15/2026
582,600
185,000
8.500%, 
7/15/2027
219,225
690,000
3.500%, 
8/15/2029
647,427
380,000
6.450%, 
9/15/2036
419,429
960,000
4.400%, 
4/15/2046
822,182
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
217
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Energy
(0.6%)
-
continued
ONEOK,
Inc.
$
1,070,000
2.200%, 
9/15/2025
$
1,089,447
Ovintiv,
Inc.
180,000
7.375%, 
11/1/2031
228,959
PBF
Holding
Company,
LLC
505,000
9.250%, 
5/15/2025
i
515,580
Pioneer
Natural
Resources
Company
750,000
4.450%, 
1/15/2026
844,200
Plains
All
American
Pipeline,
LP
800,000
4.500%, 
12/15/2026
877,799
775,000
3.550%, 
12/15/2029
772,721
Range
Resources
Corporation
270,000
9.250%, 
2/1/2026
293,360
270,000
8.250%, 
1/15/2029
i
288,900
Sabine
Pass
Liquefaction,
LLC
1,500,000
5.750%, 
5/15/2024
1,692,521
Schlumberger
Holdings
Corporation
995,000
4.000%, 
12/21/2025
i
1,100,723
Southwestern
Energy
Company
590,000
7.500%, 
4/1/2026
g
624,232
Suncor
Energy,
Inc.
990,000
3.600%, 
12/1/2024
1,076,376
Sunoco
Logistics
Partners
Operations,
LP
950,000
4.000%, 
10/1/2027
1,021,669
Sunoco,
LP
545,000
5.875%, 
3/15/2028
570,413
Targa
Resources
Partners,
LP
430,000
5.375%, 
2/1/2027
445,938
Teine
Energy,
Ltd.
510,000
6.875%, 
4/15/2029
d,i
516,171
Transocean
Guardian,
Ltd.
456,750
5.875%, 
1/15/2024
i
399,656
Transocean
Proteus,
Ltd.
192,000
6.250%, 
12/1/2024
i
182,400
USA
Compression
Partners,
LP
270,000
6.875%, 
4/1/2026
276,919
Vine
Energy
Holdings,
LLC
340,000
6.750%, 
4/15/2029
d,i
340,000
W&T
Offshore,
Inc.
610,000
9.750%, 
11/1/2023
i
539,667
Weatherford
International,
Ltd.
540,000
8.750%, 
9/1/2024
i
564,894
430,000
11.000%, 
12/1/2024
i
412,800
Western
Gas
Partners,
LP
1,496,000
4.000%, 
7/1/2022
1,533,437
Western
Midstream
Operating,
LP
180,000
4.350%, 
2/1/2025
186,300
570,000
3.950%, 
6/1/2025
585,396
320,000
5.500%, 
8/15/2048
314,918
Williams
Companies,
Inc.
1,015,000
7.500%, 
1/15/2031
1,344,239
Williams
Partners,
LP
935,000
4.500%, 
11/15/2023
1,018,204
WPX
Energy,
Inc.
1,056,000
4.500%, 
1/15/2030
1,137,090
Total
69,692,450
Financials
(1.3%)
ACE
INA
Holdings,
Inc.
1,115,000
4.350%, 
11/3/2045
1,319,238
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Financials
(1.3%)
-
continued
AerCap
Ireland
Capital
DAC
$
1,240,000
3.500%, 
1/15/2025
$
1,300,310
1,250,000
3.875%, 
1/23/2028
1,309,789
Aircastle,
Ltd.
700,000
5.000%, 
4/1/2023
746,099
1,050,000
2.850%, 
1/26/2028
i
1,004,558
Ally
Financial,
Inc.
615,000
5.750%, 
11/20/2025
698,688
American
International
Group,
Inc.
60,000
4.125%, 
2/15/2024
65,663
845,000
3.750%, 
7/10/2025
922,659
835,000
3.900%, 
4/1/2026
922,074
Ares
Capital
Corporation
1,100,000
3.875%, 
1/15/2026
1,159,280
550,000
2.150%, 
7/15/2026
535,603
Australia
and
New
Zealand
Banking
Group,
Ltd.
700,000
2.950%, 
7/22/2030
b,i
723,457
850,000
2.570%, 
11/25/2035
b,i
798,949
Aviation
Capital
Group,
LLC
1,300,000
2.875%, 
1/20/2022
i
1,318,842
Avolon
Holdings
Funding,
Ltd.
800,000
5.250%, 
5/15/2024
i
864,102
275,000
4.250%, 
4/15/2026
i
288,040
Banco
Santander
Mexico
SA
875,000
5.375%, 
4/17/2025
i
982,450
Banco
Santander
SA
400,000
1.344%, 
(LIBOR
3M
+
1.120%),
4/12/2023
b
405,625
Bank
of
America
Corporation
1,050,000
4.200%, 
8/26/2024
1,158,103
970,000
4.000%, 
1/22/2025
1,062,257
1,800,000
3.458%, 
3/15/2025
b
1,932,786
800,000
3.824%, 
1/20/2028
b
878,890
1,500,000
2.496%, 
2/13/2031
b
1,486,189
900,000
2.592%, 
4/29/2031
b
898,121
1,475,000
1.922%, 
10/24/2031
b
1,388,072
1,375,000
4.244%, 
4/24/2038
b
1,564,162
Barclays
Bank
plc
386,000
10.179%, 
6/12/2021
i
392,628
Barclays
plc
1,290,000
4.972%, 
5/16/2029
b
1,483,294
1,475,000
3.564%, 
9/23/2035
b
1,477,124
BPCE
SA
1,091,000
3.500%, 
10/23/2027
i
1,180,135
Burford
Capital
Global
Finance,
LLC
305,000
6.250%, 
4/15/2028
d,i
312,625
Camden
Property
Trust
1,975,000
3.150%, 
7/1/2029
2,088,681
CANPACK
SA
700,000
3.125%, 
11/1/2025
i
710,500
Capital
One
Financial
Corporation
1,100,000
4.200%, 
10/29/2025
1,217,513
Cascades
USA,
Inc.
570,000
5.125%, 
1/15/2026
i
604,912
Chobani,
LLC
720,000
4.625%, 
11/15/2028
i
734,400
CIT
Group,
Inc.
310,000
5.250%, 
3/7/2025
349,137
Citigroup,
Inc.
1,515,000
4.400%, 
6/10/2025
1,683,502
745,000
3.200%, 
10/21/2026
800,561
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
218
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Financials
(1.3%)
-
continued
$
1,094,000
3.668%, 
7/24/2028
b
$
1,196,423
490,000
4.125%, 
7/25/2028
542,247
915,000
3.520%, 
10/27/2028
b
989,746
978,000
4.650%, 
7/23/2048
1,200,072
CNA
Financial
Corporation
650,000
3.900%, 
5/1/2029
716,644
Comerica,
Inc.
45,000
3.700%, 
7/31/2023
48,116
Commerzbank
AG
1,850,000
8.125%, 
9/19/2023
i
2,116,585
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
988,000
4.625%, 
12/1/2023
1,082,763
Credit
Acceptance
Corporation
620,000
5.125%, 
12/31/2024
i
632,400
Credit
Agricole
SA
1,125,000
3.250%, 
1/14/2030
i
1,156,514
Credit
Suisse
Group
AG
900,000
7.250%, 
9/12/2025
b,i,l
976,320
1,800,000
2.193%, 
6/5/2026
b,i
1,829,267
Danske
Bank
AS
1,225,000
3.244%, 
12/20/2025
b,i
1,304,319
Deutsche
Bank
AG
975,000
3.547%, 
9/18/2031
b
1,006,772
1,175,000
3.729%, 
1/14/2032
b
1,139,319
Discover
Bank
900,000
2.450%, 
9/12/2024
942,066
1,670,000
4.682%, 
8/9/2028
b
1,781,222
Drawbridge
Special
Opportunities
Fund,
LP
750,000
3.875%, 
2/15/2026
i
769,317
Duke
Realty,
LP
925,000
2.875%, 
11/15/2029
949,262
ERP
Operating,
LP
337,000
3.375%, 
6/1/2025
365,157
ESH
Hospitality,
Inc.
590,000
5.250%, 
5/1/2025
i
601,800
290,000
4.625%, 
10/1/2027
i
306,716
First
Horizon
National
Corporation
1,785,000
4.000%, 
5/26/2025
1,958,962
Fortress
Transportation
360,000
6.500%, 
10/1/2025
i
376,200
GE
Capital
Funding,
LLC
3,225,000
4.400%, 
5/15/2030
i
3,651,192
GE
Capital
International
Funding
Company
1,630,000
4.418%, 
11/15/2035
1,865,959
Global
Net
Lease,
Inc.
520,000
3.750%, 
12/15/2027
i
506,857
Goldman
Sachs
Group,
Inc.
1,000,000
3.625%, 
2/20/2024
1,076,150
275,000
1.992%, 
1/27/2032
b
260,987
1,130,000
4.750%, 
10/21/2045
1,391,787
HCP,
Inc.
660,000
3.400%, 
2/1/2025
709,200
Healthpeak
Properties,
Inc.
875,000
2.875%, 
1/15/2031
882,110
HSBC
Holdings
plc
1,475,000
6.875%, 
6/1/2021
b,l
1,487,832
1,850,000
3.803%, 
3/11/2025
b
1,997,722
710,000
3.900%, 
5/25/2026
782,874
1,400,000
4.950%, 
3/31/2030
1,634,613
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Financials
(1.3%)
-
continued
Icahn
Enterprises,
LP
$
1,215,000
6.375%, 
12/15/2025
$
1,254,488
iStar,
Inc.
550,000
4.250%, 
8/1/2025
553,795
J.P.
Morgan
Chase
&
Company
1,550,000
3.875%, 
9/10/2024
1,699,270
445,000
3.125%, 
1/23/2025
476,765
850,000
1.040%, 
2/4/2027
b
829,035
1,475,000
4.203%, 
7/23/2029
b
1,668,643
900,000
2.522%, 
4/22/2031
b
898,105
1,100,000
1.953%, 
2/4/2032
b
1,042,538
1,740,000
3.882%, 
7/24/2038
b
1,930,877
Kimco
Realty
Corporation
1,142,000
3.300%, 
2/1/2025
1,223,588
Lloyds
Banking
Group
plc
1,950,000
3.870%, 
7/9/2025
b
2,122,109
LPL
Holdings,
Inc.
410,000
4.000%, 
3/15/2029
i
413,075
MGM
Growth
Properties
Operating
Partnership,
LP
410,000
4.625%, 
6/15/2025
i
432,427
340,000
5.750%, 
2/1/2027
374,828
Mitsubishi
UFJ
Financial
Group,
Inc.
1,870,000
3.287%, 
7/25/2027
2,038,851
1,750,000
2.048%, 
7/17/2030
1,684,352
Mizuho
Financial
Group,
Inc.
1,500,000
1.979%, 
9/8/2031
b
1,414,714
Morgan
Stanley
760,000
4.051%, 
(LIBOR
3M
+
3.810%),
4/15/2021
b,l
760,000
600,000
2.188%, 
4/28/2026
b
619,939
1,925,000
4.350%, 
9/8/2026
2,174,971
1,244,000
3.591%, 
7/22/2028
b
1,356,191
190,000
3.772%, 
1/24/2029
b
207,811
1,600,000
3.622%, 
4/1/2031
b
1,737,191
825,000
2.802%, 
1/25/2052
b
759,385
MPT
Operating
Partnership,
LP
630,000
4.625%, 
8/1/2029
662,779
Nasdaq,
Inc.
750,000
3.250%, 
4/28/2050
705,036
55,000
3.850%, 
6/30/2026
60,713
Nationwide
Building
Society
950,000
3.622%, 
4/26/2023
b,i
979,901
Natwest
Group
plc
850,000
3.032%, 
11/28/2035
b
810,968
NFP
Corporation
225,000
6.875%, 
8/15/2028
i
233,438
Omega
Healthcare
Investors,
Inc.
875,000
3.375%, 
2/1/2031
867,884
Park
Aerospace
Holdings,
Ltd.
800,000
4.500%, 
3/15/2023
i
835,504
PennyMac
Financial
Services,
Inc.
450,000
4.250%, 
2/15/2029
i
430,313
Playtika
Holding
Corporation
170,000
4.250%, 
3/15/2029
i
167,484
Prudential
Financial,
Inc.
1,250,000
3.700%, 
3/13/2051
1,323,272
Quicken
Loans,
LLC
440,000
3.625%, 
3/1/2029
i
423,500
Realty
Income
Corporation
1,475,000
4.125%, 
10/15/2026
1,668,371
575,000
1.800%, 
3/15/2033
528,019
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
219
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Financials
(1.3%)
-
continued
Regency
Centers,
LP
$
1,100,000
4.125%, 
3/15/2028
$
1,202,353
Reinsurance
Group
of
America,
Inc.
1,100,000
4.700%, 
9/15/2023
1,204,930
Royal
Bank
of
Scotland
Group
plc
1,050,000
6.000%, 
12/29/2025
b,l
1,152,060
1,375,000
4.445%, 
5/8/2030
b
1,531,447
Service
Properties
Trust
540,000
4.500%, 
6/15/2023
548,564
260,000
4.750%, 
10/1/2026
253,500
360,000
5.500%, 
12/15/2027
380,784
Societe
Generale
SA
1,122,000
4.750%, 
11/24/2025
i
1,245,917
Springleaf
Finance
Corporation
910,000
6.875%, 
3/15/2025
1,035,057
540,000
6.625%, 
1/15/2028
611,987
Sumitomo
Mitsui
Financial
Group,
Inc.
1,140,000
3.010%, 
10/19/2026
1,217,358
850,000
1.710%, 
1/12/2031
789,809
Synchrony
Financial
590,000
4.250%, 
8/15/2024
641,806
925,000
3.950%, 
12/1/2027
996,646
UBS
Group
Funding
Jersey,
Ltd.
1,158,000
4.125%, 
9/24/2025
i
1,285,327
UDR,
Inc.
875,000
2.100%, 
8/1/2032
812,985
VEREIT
Operating
Partnership,
LP
1,100,000
2.850%, 
12/15/2032
1,065,297
VICI
Properties,
LP
340,000
4.250%, 
12/1/2026
i
347,849
200,000
3.750%, 
2/15/2027
i
200,000
290,000
4.625%, 
12/1/2029
i
300,834
Voya
Financial,
Inc.
1,018,000
3.125%, 
7/15/2024
1,087,895
Wells
Fargo
&
Company
1,320,000
3.000%, 
2/19/2025
1,404,515
125,000
3.000%, 
4/22/2026
133,577
1,475,000
3.000%, 
10/23/2026
1,574,283
1,400,000
2.393%, 
6/2/2028
b
1,434,851
1,180,000
4.900%, 
11/17/2045
1,416,242
Westpac
Banking
Corporation
2,000,000
2.668%, 
11/15/2035
b
1,897,800
Total
142,148,313
Mortgage-Backed
Securities
(7.1%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
36,218,318
3.000%, 
3/25/2050
37,800,198
26,594,829
3.000%, 
4/1/2050
27,773,961
13,593,162
3.500%, 
7/1/2047
14,430,491
Federal
National
Mortgage
Association
8,583,306
4.500%, 
5/1/2048
9,368,730
14,829,950
3.500%, 
10/1/2048
15,663,828
8,609,878
3.500%, 
6/1/2049
9,113,252
17,171,293
3.500%, 
8/1/2049
18,171,862
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
64,125,000
1.500%, 
4/1/2036
d
64,414,505
101,100,000
2.000%, 
4/1/2036
d
103,756,151
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Mortgage-Backed
Securities
(7.1%)
-
continued
$
35,000,000
2.500%, 
4/1/2036
d
$
36,415,039
44,400,000
2.000%, 
5/1/2036
d
45,510,542
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
48,700,000
2.000%, 
4/1/2051
d,m
48,608,688
119,715,000
2.500%, 
4/1/2051
d
122,848,167
122,875,000
2.000%, 
5/1/2051
d,m
122,419,019
77,078,000
2.500%, 
5/1/2051
d
78,929,679
25,914,873
4.000%, 
7/1/2048
27,814,979
Total
783,039,091
Technology
(0.4%)
Apple,
Inc.
1,405,000
3.000%, 
11/13/2027
1,523,197
2,570,000
3.750%, 
9/12/2047
2,842,625
Applied
Materials,
Inc.
736,000
3.300%, 
4/1/2027
800,865
Baidu,
Inc.
1,200,000
3.425%, 
4/7/2030
1,257,139
Banff
Merger
Sub,
Inc.
255,000
9.750%, 
9/1/2026
i
271,575
Broadcom
Corporation
542,000
3.875%, 
1/15/2027
588,561
1,350,000
3.500%, 
1/15/2028
1,433,318
Broadcom,
Inc.
604,000
3.469%, 
4/15/2034
i
606,065
600,000
5.000%, 
4/15/2030
683,830
CDW,
LLC
380,000
4.250%, 
4/1/2028
393,300
CommScope
Technologies
Finance,
LLC
620,000
6.000%, 
6/15/2025
i
632,431
CommScope,
Inc.
385,000
7.125%, 
7/1/2028
i
408,901
Diamond
1
Finance
Corporation
2,360,000
6.020%, 
6/15/2026
i
2,793,879
Diamond
Sports
Group,
LLC
980,000
6.625%, 
8/15/2027
i
509,600
Fiserv,
Inc.
1,000,000
2.250%, 
6/1/2027
1,022,210
1,150,000
2.650%, 
6/1/2030
1,158,192
Gartner,
Inc.
50,000
4.500%, 
7/1/2028
i
51,562
605,000
3.750%, 
10/1/2030
i
599,997
Hewlett
Packard
Enterprise
Company
850,000
4.650%, 
10/1/2024
948,858
Iron
Mountain,
Inc.
570,000
4.875%, 
9/15/2029
i
577,096
750,000
5.250%, 
7/15/2030
i
773,850
KLA
Corporation
1,800,000
3.300%, 
3/1/2050
1,728,883
Lam
Research
Corporation
1,500,000
2.875%, 
6/15/2050
1,429,862
Micron
Technology,
Inc.
600,000
2.497%, 
4/24/2023
622,734
Microsoft
Corporation
2,400,000
4.200%, 
11/3/2035
2,867,744
2,250,000
3.700%, 
8/8/2046
2,522,166
NCR
Corporation
1,020,000
6.125%, 
9/1/2029
i
1,079,925
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
220
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Technology
(0.4%)
-
continued
NVIDIA
Corporation
$
1,500,000
3.500%, 
4/1/2040
$
1,613,515
NXP
Funding,
LLC
1,500,000
4.875%, 
3/1/2024
i
1,667,184
Open
Text
Corporation
675,000
4.125%, 
2/15/2030
i
684,241
Oracle
Corporation
1,800,000
2.800%, 
4/1/2027
1,895,656
1,815,000
3.850%, 
7/15/2036
1,930,303
1,500,000
3.600%, 
4/1/2040
1,506,478
PTC,
Inc.
300,000
3.625%, 
2/15/2025
i
307,875
270,000
4.000%, 
2/15/2028
i
274,050
Qorvo,
Inc.
460,000
3.375%, 
4/1/2031
i
450,749
Rackspace
Technology
Global,
Inc.
540,000
5.375%, 
12/1/2028
g,i
549,085
Seagate
HDD
Cayman
670,000
3.375%, 
7/15/2031
i
644,171
Sensata
Technologies,
Inc.
980,000
3.750%, 
2/15/2031
i
966,221
Shift4
Payments,
LLC
190,000
4.625%, 
11/1/2026
i
197,125
SS&C
Technologies,
Inc.
1,120,000
5.500%, 
9/30/2027
i
1,192,856
Switch,
Ltd.
570,000
3.750%, 
9/15/2028
i
561,290
Teledyne
Technologies,
Inc.
720,000
2.250%, 
4/1/2028
716,530
Texas
Instruments,
Inc.
1,630,000
4.150%, 
5/15/2048
1,939,211
Tyco
Electronics
Group
SA
374,000
3.450%, 
8/1/2024
402,948
748,000
3.125%, 
8/15/2027
802,409
VMware,
Inc.
825,000
4.650%, 
5/15/2027
935,150
Total
49,365,412
Transportation
(0.1%)
Air
Canada
Pass
Through
Trust
310,431
3.875%, 
3/15/2023
i
309,951
American
Airlines,
Inc.
420,000
11.750%, 
7/15/2025
i
519,536
765,000
5.500%, 
4/20/2026
i
796,128
125,000
5.750%, 
4/20/2029
i
132,956
Avis
Budget
Car
Rental,
LLC
450,000
5.375%, 
3/1/2029
i
465,491
Boeing
Company
712,000
5.805%, 
5/1/2050
896,373
Burlington
Northern
Santa
Fe,
LLC
1,120,000
5.750%, 
5/1/2040
1,499,159
575,000
4.450%, 
3/15/2043
678,744
CSX
Corporation
900,000
3.800%, 
4/15/2050
955,000
Delta
Air
Lines,
Inc.
515,000
7.000%, 
5/1/2025
i
593,258
1,100,000
4.750%, 
10/20/2028
i
1,196,136
Hawaiian
Brand
Intellectual
Property,
Ltd.
580,000
5.750%, 
1/20/2026
i
616,308
Mileage
Plus
Holdings,
LLC
570,000
6.500%, 
6/20/2027
i
624,863
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Transportation
(0.1%)
-
continued
Southwest
Airlines
Company
$
475,000
4.750%, 
5/4/2023
$
512,855
1,050,000
5.125%, 
6/15/2027
1,207,153
United
Parcel
Service,
Inc.
1,200,000
4.450%, 
4/1/2030
1,402,561
XPO
Logistics,
Inc.
923,000
6.750%, 
8/15/2024
i
967,996
Total
13,374,468
U.S.
Government
&
Agencies
(8.2%)
U.S.
Treasury
Bonds
9,660,000
1.625%, 
11/15/2050
8,049,497
7,285,000
2.250%, 
11/15/2027
7,711,571
72,550,000
2.875%, 
5/15/2028
79,751,154
19,150,000
5.250%, 
11/15/2028
24,381,840
13,650,000
1.625%, 
8/15/2029
13,698,521
3,250,000
1.500%, 
2/15/2030
3,210,010
3,750,000
0.875%, 
11/15/2030
3,468,164
270,000
1.125%, 
2/15/2031
255,108
2,975,000
4.375%, 
5/15/2040
3,988,243
44,475,000
1.375%, 
11/15/2040
37,831,547
1,340,000
3.000%, 
5/15/2042
1,496,455
68,726,000
2.500%, 
5/15/2046
70,036,089
46,100,000
2.875%, 
5/15/2049
50,623,562
U.S.
Treasury
Notes
4,300,000
2.500%, 
1/15/2022
4,382,641
5,080,000
1.125%, 
2/28/2022
5,128,816
78,270,000
0.125%, 
6/30/2022
78,288,345
22,660,000
1.875%, 
7/31/2022
23,190,209
14,960,000
0.125%, 
10/31/2022
14,958,247
16,300,000
2.000%, 
11/30/2022
16,802,371
106,955,000
0.125%, 
1/31/2023
106,904,865
4,910,000
2.500%, 
3/31/2023
5,138,814
22,900,000
0.125%, 
10/15/2023
22,824,859
82,550,000
2.500%, 
1/31/2024
87,625,535
25,885,000
2.125%, 
7/31/2024
27,321,820
28,665,000
2.250%, 
11/15/2024
30,419,611
19,170,000
2.125%, 
11/30/2024
20,264,038
52,575,000
2.625%, 
1/31/2026
56,916,545
90,300,000
2.500%, 
2/28/2026
97,231,230
1,500,000
0.750%, 
1/31/2028
1,438,125
Total
903,337,832
Utilities
(0.4%)
Ameren
Illinois
Company
830,000
4.500%, 
3/15/2049
999,111
American
Water
Capital
Corporation
1,500,000
2.800%, 
5/1/2030
1,542,660
Appalachian
Power
Company
750,000
3.300%, 
6/1/2027
807,069
Berkshire
Hathaway
Energy
Company
1,165,000
4.500%, 
2/1/2045
1,350,468
Calpine
Corporation
960,000
4.500%, 
2/15/2028
i
968,064
CenterPoint
Energy,
Inc.
600,000
2.500%, 
9/1/2024
629,107
900,000
4.250%, 
11/1/2028
1,009,395
CMS
Energy
Corporation
490,000
2.950%, 
2/15/2027
517,774
Commonwealth
Edison
Company
1,300,000
3.700%, 
3/1/2045
1,382,463
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
221
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Utilities
(0.4%)
-
continued
Consolidated
Edison
Company
of
New
York,
Inc.
$
1,250,000
4.125%, 
5/15/2049
$
1,389,811
Consolidated
Edison,
Inc.
579,000
4.500%, 
12/1/2045
668,853
Consumers
Energy
Company
1,200,000
4.350%, 
4/15/2049
1,435,820
DTE
Electric
Company
965,000
3.700%, 
3/15/2045
1,020,496
475,000
3.700%, 
6/1/2046
504,253
Duke
Energy
Carolinas,
LLC
1,190,000
3.700%, 
12/1/2047
1,264,101
Duke
Energy
Corporation
770,000
3.750%, 
9/1/2046
774,371
Duke
Energy
Florida,
LLC
1,030,000
3.200%, 
1/15/2027
1,113,510
Duke
Energy
Indiana,
LLC
1,550,000
3.750%, 
5/15/2046
1,620,315
Edison
International
725,000
5.750%, 
6/15/2027
845,750
Exelon
Corporation
585,000
4.700%, 
4/15/2050
700,717
1,158,000
4.450%, 
4/15/2046
1,327,460
FirstEnergy
Corporation
460,000
2.850%, 
7/15/2022
466,900
ITC
Holdings
Corporation
294,000
4.050%, 
7/1/2023
313,873
760,000
5.300%, 
7/1/2043
930,636
Mississippi
Power
Company
1,040,000
3.950%, 
3/30/2028
1,146,371
Monongahela
Power
Company
990,000
5.400%, 
12/15/2043
i
1,219,177
National
Rural
Utilities
Cooperative
Finance
Corporation
550,000
3.900%, 
11/1/2028
614,056
1,050,000
3.700%, 
3/15/2029
1,149,618
NextEra
Energy
Operating
Partners,
LP
740,000
3.875%, 
10/15/2026
i
776,075
NiSource
Finance
Corporation
900,000
5.650%, 
2/1/2045
1,156,355
NiSource,
Inc.
1,125,000
3.600%, 
5/1/2030
1,219,342
NRG
Energy,
Inc.
820,000
3.375%, 
2/15/2029
i
800,525
Pacific
Gas
and
Electric
Company
900,000
3.300%, 
12/1/2027
939,910
480,000
3.250%, 
6/1/2031
477,877
900,000
3.950%, 
12/1/2047
828,318
PG&E
Corporation
380,000
5.000%, 
7/1/2028
401,460
300,000
5.250%, 
7/1/2030
318,000
PPL
Capital
Funding,
Inc.
800,000
5.000%, 
3/15/2044
953,509
PPL
Electric
Utilities
Corporation
1,122,000
3.950%, 
6/1/2047
1,236,401
Public
Service
Electric
&
Gas
Company
400,000
3.000%, 
5/15/2027
429,343
San
Diego
Gas
and
Electric
Company
1,540,000
4.150%, 
5/15/2048
1,735,994
Principal
Amount
Long-Term
Fixed
Income
(23.7%)
Value
Utilities
(0.4%)
-
continued
South
Carolina
Electric
&
Gas
Company
$
650,000
5.100%, 
6/1/2065
$
861,689
Southern
California
Edison
Company
1,500,000
4.000%, 
4/1/2047
1,545,170
Southern
Company
843,000
3.250%, 
7/1/2026
902,327
Southern
Company
Gas
Capital
Corporation
620,000
4.400%, 
5/30/2047
685,680
Southwestern
Electric
Power
Company
620,000
3.900%, 
4/1/2045
645,851
Suburban
Propane
Partners,
LP
740,000
5.875%, 
3/1/2027
769,600
Talen
Energy
Supply,
LLC
590,000
7.625%, 
6/1/2028
i
597,375
TerraForm
Power
Operating,
LLC
750,000
5.000%, 
1/31/2028
i
809,287
Virginia
Electric
and
Power
Company
850,000
4.600%, 
12/1/2048
1,044,104
Vistra
Operations
Company,
LLC
550,000
5.000%, 
7/31/2027
i
566,511
Total
47,412,902
Total
Long-Term
Fixed
Income
(cost
$2,554,180,248)
2,616,435,588
Shares
Collateral
Held
for
Securities
Loaned
(
0.4%
)
Value
41,125,358
Thrivent
Cash
Management
Trust
41,125,358
Total
Collateral
Held
for
Securities
Loaned
(cost
$41,125,358)
41,125,358
Shares
or
Principal
Amount
Short-Term
Investments
(
11.6%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
16,800,000
0.085%,
4/7/2021
n,o
16,800,000
19,600,000
0.085%,
4/8/2021
n,o
19,600,000
100,000
0.025%,
4/16/2021
n
100,000
6,000,000
0.002%,
4/28/2021
n,o
6,000,000
2,500,000
0.040%,
5/4/2021
n,o
2,499,977
1,000,000
0.030%,
5/6/2021
n,o
999,990
100,000
0.040%,
5/12/2021
n,o
99,999
1,000,000
0.030%,
5/13/2021
n
999,988
21,700,000
0.010%,
5/18/2021
n,o
21,699,717
3,100,000
0.020%,
6/16/2021
n,o
3,099,869
100,000
0.015%,
6/23/2021
n,o
99,995
6,500,000
0.000%,
7/7/2021
o
6,499,475
Thrivent
Core
Short-Term
Reserve
Fund
119,323,005
0.180%
1,193,230,053
U.S.
Treasury
Bills
800,000
0.022%,
4/20/2021
n,p
799,993
5,400,000
0.031%,
4/22/2021
n,p
5,399,969
4,200,000
0.048%,
8/26/2021
n,p
4,199,614
Total
Short-Term
Investments
(cost
$1,282,004,685)
1,282,128,639
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
222
Contracts
Options
Purchased
(
<0.1%
)
Value
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
399
$132.50,
expires
5/21/2021
$
773,063
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
387
$160.00,
expires
5/21/2021
2,273,625
Total
Options
Purchased
(cost
$1,514,549)
3,046,688
Total
Investments
(cost
$9,557,290,672)
106.1%
$11,735,447,625
Other
Assets
and
Liabilities,
Net
(6.1%)
(679,523,087)
Total
Net
Assets
100.0%
$11,055,924,538
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
March
31,
2021.
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
All
or
a
portion
of
the
loan
is
unfunded.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
f
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
March
31,
2021.
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
March
31,
2021,
the
value
of
these
investments
was
$440,005,249
or
4.0%
of
total
net
assets.
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
March
31,
2021.
k
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.
l
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
m
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
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.
p
At
March
31,
2021,
$5,562,694
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
Moderate
Allocation
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
4,503,158
Common
Stock
35,690,986
Total
lending
$40,194,144
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$41,125,358
Net
amounts
due
to
counterparty
$931,214
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
FNMA
-
Federal
National
Mortgage
Association
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.
PIK
-
Payment-In-Kind
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
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
223
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
9,096,803
9,096,803
Capital
Goods
18,337,183
18,337,183
Communications
Services
31,115,675
31,115,675
Consumer
Cyclical
24,878,775
24,878,775
Consumer
Non-Cyclical
27,753,070
27,530,870
222,200
Energy
2,015,956
2,015,956
Financials
8,838,182
8,838,182
Technology
13,500,795
13,500,795
Transportation
7,712,992
7,712,992
Utilities
6,659,280
6,659,280
Registered
Investment
Companies
Unaffiliated
83,674,399
83,674,399
Affiliated
3,781,683,132
3,781,683,132
Common
Stock
Communications
Services
262,331,231
262,185,217
146,014
Consumer
Discretionary
474,451,290
474,451,290
Consumer
Staples
74,494,467
74,494,467
Energy
60,882,400
60,882,400
Financials
425,983,147
420,571,497
5,409,957
1,693
Health
Care
413,765,756
413,765,756
Industrials
388,812,329
386,291,435
2,520,894
Information
Technology
769,159,572
763,666,324
5,493,248
Materials
87,259,130
86,049,066
1,210,055
9
Real
Estate
150,791,106
150,791,106
Utilities
41,038,944
41,038,944
Long-Term
Fixed
Income
Asset-Backed
Securities
167,028,312
167,028,312
Basic
Materials
29,163,252
29,163,252
Capital
Goods
42,972,613
42,972,613
Collateralized
Mortgage
Obligations
121,741,210
110,091,210
11,650,000
Commercial
Mortgage-Backed
Securities
17,688,263
17,688,263
Communications
Services
74,356,486
74,117,558
238,928
Consumer
Cyclical
68,906,010
68,906,010
Consumer
Non-Cyclical
86,208,974
86,208,974
Energy
69,692,450
69,692,450
Financials
142,148,313
142,148,313
Mortgage-Backed
Securities
783,039,091
783,039,091
Technology
49,365,412
49,365,412
Transportation
13,374,468
13,374,468
U.S.
Government
&
Agencies
903,337,832
903,337,832
Utilities
47,412,902
47,412,902
Short-Term
Investments
88,898,586
88,898,586
Options
Purchased
3,046,688
3,046,688
Subtotal
Investments
in
Securities
$9,872,616,476
$7,002,591,721
$2,857,911,925
$12,112,830
Other
Investments  *
Total
Affiliated
Short-Term
Investments
1,193,230,053
Affiliated
Registered
Investment
Companies
628,475,738
Collateral
Held
for
Securities
Loaned
41,125,358
Subtotal
Other
Investments
$1,862,831,149
Total
Investments
at
Value
$11,735,447,625
*
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.  
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
224
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
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
47,059,518
47,059,518
Total
Asset
Derivatives
$47,059,518
$47,059,518
$–
$–
Liability
Derivatives
Futures
Contracts
6,287,433
6,287,433
Call
Options
Written
1,056,385
989,907
66,478
Total
Liability
Derivatives
$7,343,818
$7,277,340
$–
$66,478
The
following
table
presents
Moderate
Allocation
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$60,499,025
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
194
June
2021
$
26,143,640
(
$
741,765)
CBOT
2-Yr.
U.S.
Treasury
Note
644
June
2021
142,290,757
(
142,852)
CBOT
5-Yr.
U.S.
Treasury
Note
712
June
2021
88,985,176
(
1,125,487)
CBOT
U.S.
Long
Bond
187
June
2021
29,910,867
(
1,001,836)
CME
E-mini
S&P
500
Index
5,606
June
2021
1,094,868,336
17,193,884
CME
Ultra
Long
Term
U.S.
Treasury
Bond
229
June
2021
43,089,255
(
1,590,161)
ICE
mini
MSCI
EAFE
Index
1,547
June
2021
169,942,578
(
391,378)
Total
Futures
Long
Contracts
$
1,595,230,609
$
12,200,405
CME
E-mini
Russell
2000
Index
(3,294)
June
2021
(
$
385,932,719)
$
19,886,969
CME
E-mini
S&P
Mid-Cap
400
Index
(2,208)
June
2021
(
583,836,350)
8,586,110
CME
Euro
Foreign
Exchange
Currency
(236)
June
2021
(
35,232,224)
593,324
Eurex
Euro
STOXX
50
Index
(768)
June
2021
(
33,972,342)
(
900,314)
ICE
US
mini
MSCI
Emerging
Markets
Index
(697)
June
2021
(
45,695,485)
(
393,640)
Ultra
10-Yr.
U.S.
Treasury
Note
(149)
June
2021
(
22,208,669)
799,231
Total
Futures
Short
Contracts
(
$
1,106,877,789)
$28,571,680
Total
Futures
Contracts
$
488,352,820
$40,772,085
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
225
Counterparty:
CCM
-
CCM
Futures,
LLC
JPM
-
J.P.
Morgan
MSC
-
Morgan
Stanley
&
Company
The
following
table
presents
Moderate
Allocation
Portfolio's
options
contracts
held
as
of
March
31,
2021.
Option
_
Description                              
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
399.00
$
132.50
May
2021
52,244,063
$
773,063
$
348,120
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
387.00
160.00
May
2021
59,827,781
2,273,625
1,184,019
Total
Options
Purchased
Contracts
$3,046,688
$1,532,139
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(33.50)
$
102.72
April
2021
(33,375,684)
(
$
33)
$
183,170
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(31.50)
100.83
May
2021
(31,440,938)
(
66,445)
119,356
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
(399.00)
130.50
May
2021
(52,244,062)
(
342,891)
(
131,928)
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
(387.00)
153.00
May
2021
(59,827,781)
(
647,016)
(
285,372)
Total
Options
Written
Contracts
($1,056,385)
($114,774)
(*)  Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
226
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$261,775
$2,684
$–
$246,726
25,515
2.2%
Core
Emerging
Markets
Equity
78,541
81,738
6,662
0.7
Core
International
Equity
57,326
35,800
23,252
2,289
0.2
Core
Low
Volatility
Equity
448,746
180,000
276,760
21,289
2.5
Global
Stock
436,493
459,722
30,845
4.2
High
Yield
203,397
2,341
204,095
44,090
1.8
Income
680,517
4,731
654,548
59,895
5.9
International
Allocation
536,533
559,166
52,945
5.0
International
Index
60,008
62,009
4,742
0.6
Large
Cap
Value
712,027
808,995
37,121
7.3
Limited
Maturity
Bond
348,789
1,413
348,628
34,658
3.2
Mid
Cap
Stock
484,590
530,932
21,360
4.8
Small
Cap
Stock
134,494
153,587
6,427
1.4
Total
Affiliated
Registered
Investment
Companies
4,443,236
4,410,158
39.8
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
934,266
848,108
589,144
1,193,230
119,323
10.8
Total
Affiliated
Short-Term
Investments
934,266
1,193,230
10.8
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
69,785
274,953
303,613
41,125
41,125
0.4
Total
Collateral
Held
for
Securities
Loaned
69,785
41,125
0.4
Total
Value
$5,447,287
$5,644,513
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$(17,733)
$2,685
Core
Emerging
Markets
Equity
3,198
Core
International
Equity
899
827
Core
Low
Volatility
Equity
17,856
(9,842)
Global
Stock
23,229
High
Yield
(1,643)
2,337
Income
(30,700)
4,732
International
Allocation
22,634
International
Index
2,001
Large
Cap
Value
96,968
Limited
Maturity
Bond
(1,574)
1,412
Mid
Cap
Stock
46,343
Small
Cap
Stock
19,093
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
(74)
74
454
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$11,620
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
51
Total
Affiliated
Income
from
Securities
Loaned,
Net
$51
Total
Value
$18,681
$152,875
$–
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
227
Principal
Amount
Bank
Loans
(
0.8%
)
a
Value
Basic
Materials
(0.1%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
218,812
4.690%, 
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
217,408
Chemours
Company,
Term
Loan
360,736
1.860%, 
(LIBOR
1M
+
1.750%),
4/3/2025
b
349,614
Hexion,
Inc.,
Term
Loan
301,927
3.740%, 
(LIBOR
3M
+
3.500%),
7/1/2026
b
301,740
INEOS
US
Petrochem,
LLC,
Term
Loan
485,000
3.250%, 
(LIBOR
3M
+
2.750%),
1/29/2026
b
483,181
Innophos
Holdings,
Inc.,
Term
Loan
301,950
3.609%, 
(LIBOR
1M
+
3.500%),
2/7/2027
b
300,818
Momentive
Performance
Materials
USA,
LLC,
Term
Loan
332,085
3.360%, 
(LIBOR
1M
+
3.250%),
5/15/2024
b
326,274
Nouryon
USA,
LLC,
Term
Loan
711,992
2.860%, 
(LIBOR
1M
+
2.750%),
10/1/2025
b
700,571
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
534,309
7.500%, 
(LIBOR
1M
+
6.500%),
10/31/2024
b
533,753
PQ
Corporation,
Term
Loan
258,866
4.000%, 
(LIBOR
3M
+
3.000%),
2/7/2027
b
258,758
Venator
Finance
SARL,
Term
Loan
344,108
3.109%, 
(LIBOR
1M
+
3.000%),
8/8/2024
b
339,091
Total
3,811,208
Capital
Goods
(0.1%)
Flex
Acquisition
Company,
Inc.,
Term
Loan
652,153
3.238%, 
(LIBOR
3M
+
3.250%),
6/29/2025
b
640,740
275,000
4.000%, 
(LIBOR
3M
+
3.500%),
3/2/2028
b
271,263
Gemini
HDPE,
LLC,
Term
Loan
430,000
3.500%, 
(LIBOR
3M
+
3.000%),
12/31/2027
b
427,583
GFL
Environmental,
Inc.,
Term
Loan
443,888
3.500%, 
(LIBOR
1M
+
3.000%),
5/31/2025
b
443,888
Graham
Packaging
Company,
Inc.,
Term
Loan
455,000
3.750%, 
(LIBOR
1M
+
3.000%),
8/4/2027
b
451,847
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
467,711
3.443%, 
(LIBOR
3M
+
3.250%),
4/3/2024
b
457,188
MI
Windows
and
Doors,
Inc.,
Term
Loan
403,988
4.500%, 
(LIBOR
1M
+
3.750%),
12/18/2027
b
405,252
Principal
Amount
Bank
Loans
(0.8%)
a
Value
Capital
Goods
(0.1%)
-
continued
Navistar,
Inc.,
Term
Loan
$
106,700
3.620%, 
(LIBOR
1M
+
3.500%),
11/6/2024
b
$
106,673
Pactiv
Evergreen
Group
Holdings,
Inc.,
Term
Loan
105,655
2.859%, 
(LIBOR
1M
+
2.750%),
2/5/2023
b
105,144
364,087
3.359%, 
(LIBOR
1M
+
3.250%),
2/5/2026
b
359,718
TransDigm,
Inc.,
Term
Loan
1,059,354
2.359%, 
(LIBOR
1M
+
2.250%),
12/9/2025
b
1,036,398
TricorBraun
Holdings,
Inc.,
Delayed
Draw
104,667
0.000%, 
(LIBOR
1M
+
3.250%),
3/3/2028
b,c,d
103,576
TricorBraun
Holdings,
Inc.,
Term
Loan
465,332
0.000%, 
(LIBOR
3M
+
3.250%),
3/3/2028
b,c,d
460,483
Vertiv
Group
Corporation,
Term
Loan
1,556,100
2.869%, 
(LIBOR
3M
+
2.750%),
3/2/2027
b
1,542,811
Total
6,812,564
Communications
Services
(0.2%)
Altice
France
SA,
Term
Loan
298,375
2.859%, 
(LIBOR
1M
+
2.750%),
7/31/2025
b
292,246
Cablevision
Lightpath,
LLC,
Term
Loan
428,925
3.750%, 
(LIBOR
1M
+
3.250%),
12/1/2027
b
427,853
CCI
Buyer,
Inc.,
Term
Loan
115,000
4.750%, 
(LIBOR
3M
+
4.000%),
12/17/2027
b
115,108
CommScope,
Inc.,
Term
Loan
575,617
3.359%, 
(LIBOR
1M
+
3.250%),
4/4/2026
b
571,329
CSC
Holdings,
LLC,
Term
Loan
56,625
2.356%, 
(LIBOR
1M
+
2.250%),
7/17/2025
b,c,d
55,788
Diamond
Sports
Group,
LLC,
Term
Loan
454,579
3.360%, 
(LIBOR
1M
+
3.250%),
8/24/2026
b
310,250
E.W.
Scripps
Company,
Term
Loan
418,950
3.750%, 
(LIBOR
1M
+
3.000%),
1/7/2028
b
417,052
Eagle
Broadband
Investments,
LLC,
Term
Loan
713,213
3.750%, 
(LIBOR
3M
+
3.000%),
11/12/2027
b
710,837
Entercom
Media
Corporation,
Term
Loan
408,479
2.609%, 
(LIBOR
1M
+
2.500%),
11/17/2024
b
398,981
GCI,
LLC,
Term
Loan
536,951
3.500%, 
(LIBOR
1M
+
2.750%),
10/15/2025
b,c,d
533,820
HCP
Acquisition,
LLC,
Term
Loan
579,244
3.750%, 
(LIBOR
1M
+
2.750%),
5/16/2024
b
577,970
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
228
Principal
Amount
Bank
Loans
(0.8%)
a
Value
Communications
Services
(0.2%)
-
continued
iHeartCommunications,
Inc.,
Term
Loan
$
351,441
3.109%, 
(LIBOR
1M
+
3.000%),
5/1/2026
b
$
346,883
Intermediate
Dutch
Holdings,
Term
Loan
400,000
0.000%, 
(LIBOR
1M
+
4.000%),
3/5/2028
b,c,d
398,200
Lumen
Technologies,
Inc.,
Term
Loan
521,618
2.359%, 
(LIBOR
1M
+
2.250%),
3/15/2027
b,c,d
515,520
Meredith
Corporation,
Term
Loan
373,120
5.250%, 
(LIBOR
3M
+
4.250%),
1/31/2025
b
378,329
NEP
Group,
Inc.,
Term
Loan
703,800
3.359%, 
(LIBOR
1M
+
3.250%),
10/20/2025
b
681,412
70,000
7.109%, 
(LIBOR
1M
+
7.000%),
10/19/2026
b
64,108
Nexstar
Broadcasting,
Inc.,
Term
Loan
687,053
2.615%, 
(LIBOR
1M
+
2.500%),
9/19/2026
b
681,303
Nielsen
Finance,
LLC,
Term
Loan
195,634
4.750%, 
(LIBOR
1M
+
3.750%),
6/4/2025
b
195,971
Peraton
Corporation,
Delayed
Draw
380,000
0.000%, 
(LIBOR
1M
+
3.750%),
2/1/2028
b,c,d
379,685
Peraton
Corporation,
Term
Loan
210,000
4.500%, 
(LIBOR
3M
+
3.750%),
2/1/2028
b
209,826
Radiate
Holdco,
LLC,
Term
Loan
1,017,450
4.250%, 
(LIBOR
1M
+
3.500%),
9/25/2026
b
1,016,412
Terrier
Media
Buyer,
Inc.,
Term
Loan
593,513
3.609%, 
(LIBOR
1M
+
3.500%),
12/17/2026
b
587,660
TNS,
Inc.,
Term
Loan
376,220
4.110%, 
(LIBOR
1M
+
4.000%),
8/14/2022
b
374,181
WideOpenWest
Finance,
LLC,
Term
Loan
757,724
4.250%, 
(LIBOR
1M
+
3.250%),
8/19/2023
b
755,027
Xplornet
Communications,
Inc.,
Term
Loan
441,787
4.859%, 
(LIBOR
1M
+
4.750%),
6/10/2027
b
441,442
Ziggo
Financing
Partnership,
Term
Loan
295,000
2.606%, 
(LIBOR
1M
+
2.500%),
4/30/2028
b,c,d
291,782
Total
11,728,975
Consumer
Cyclical
(0.1%)
1011778
B.C.,
LLC,
Term
Loan
639,234
1.859%, 
(LIBOR
1M
+
1.750%),
11/19/2026
b,c,d
627,050
Principal
Amount
Bank
Loans
(0.8%)
a
Value
Consumer
Cyclical
(0.1%)
-
continued
Caesars
Resort
Collection,
LLC,
Term
Loan
$
572,125
4.609%, 
(LIBOR
1M
+
4.500%),
7/20/2025
b
$
572,840
Carnival
Corporation,
Term
Loan
288,546
8.500%, 
(LIBOR
1M
+
7.500%),
6/30/2025
b
297,203
Cengage
Learning,
Inc.,
Term
Loan
279,200
5.250%, 
(LIBOR
3M
+
4.250%),
6/7/2023
b
275,886
City
Brewing
Company,
LLC,
Term
Loan
80,000
0.000%, 
(LIBOR
1M
+
3.500%),
4/1/2028
b,c,d
79,600
CP
Atlas
Buyer,
Inc.,
Term
Loan
375,000
4.250%, 
(LIBOR
2M
+
3.750%),
11/23/2027
b
372,247
Golden
Entertainment,
Inc.,
Term
Loan
936,050
3.750%, 
(LIBOR
1M
+
3.000%),
10/20/2024
b
922,009
Golden
Nugget,
LLC,
Term
Loan
300,745
3.250%, 
(LIBOR
2M
+
2.500%),
10/4/2023
b
295,708
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
553,612
3.750%, 
(LIBOR
1M
+
3.000%),
10/19/2027
b
552,605
LCPR
Loan
Financing,
LLC,
Term
Loan
390,000
0.000%, 
(LIBOR
3M
+
3.750%),
10/23/2026
b,c,d
390,488
Michaels
Stores,
Inc.,
Term
Loan
407,950
4.250%, 
(LIBOR
1M
+
3.500%),
10/1/2027
b
407,338
Penn
National
Gaming,
Inc.,
Term
Loan
328,357
3.000%, 
(LIBOR
1M
+
2.250%),
10/15/2025
b
326,560
Scientific
Games
International,
Inc.,
Term
Loan
1,797,432
2.859%, 
(LIBOR
1M
+
2.750%),
8/14/2024
b
1,761,357
Staples,
Inc.,
Term
Loan
98,002
4.705%, 
(LIBOR
3M
+
4.500%),
9/12/2024
b
96,246
327,117
5.205%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
318,668
Stars
Group
Holdings
BV,
Term
Loan
443,306
3.703%, 
(LIBOR
3M
+
3.500%),
7/10/2025
b
443,554
Tenneco,
Inc.,
Term
Loan
427,600
3.109%, 
(LIBOR
1M
+
3.000%),
10/1/2025
b
415,948
Truck
Hero,
Inc.,
Term
Loan
105,000
4.500%, 
(LIBOR
1M
+
3.750%),
2/24/2028
b
104,665
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
229
Principal
Amount
Bank
Loans
(0.8%)
a
Value
Consumer
Cyclical
(0.1%)
-
continued
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
$
302,250
1.859%, 
(LIBOR
1M
+
1.750%),
5/30/2025
b
$
298,807
Total
8,558,779
Consumer
Non-Cyclical
(0.1%)
Adient
US,
LLC,
Term
Loan
343,253
4.380%, 
(LIBOR
1M
+
4.250%),
5/6/2024
b
342,824
Bausch
Health
Americas,
Inc.,
Term
Loan
715,202
3.109%, 
(LIBOR
1M
+
3.000%),
6/1/2025
b
712,492
Bellring
Brands,
LLC,
Term
Loan
419,155
4.750%, 
(LIBOR
1M
+
4.000%),
10/21/2024
b
421,074
Chobani,
LLC,
Term
Loan
223,875
4.500%, 
(LIBOR
1M
+
3.500%),
10/23/2027
b
223,539
CNT
Holdings
I
Corporation,
Term
Loan
290,000
4.500%, 
(LIBOR
3M
+
3.750%),
11/8/2027
b
289,185
80,000
7.500%, 
(LIBOR
3M
+
6.750%),
11/6/2028
b,e
80,800
Dole
Food
Company,
Inc.,
Term
Loan
597,635
3.754%, 
(LIBOR
1M
+
2.750%),
4/6/2024
b
597,055
Endo
Luxembourg
Finance
Company,
Term
Loan
695,000
0.000%, 
(LIBOR
1M
+
5.000%),
3/25/2028
b,c,d
687,181
Gainwell
Acquistion
Corporation,
Term
Loan
790,000
0.000%, 
(LIBOR
1M
+
4.000%),
10/1/2027
b,c,d
786,050
Global
Medical
Response,
Inc.,
Term
Loan
53,212
5.250%, 
(LIBOR
3M
+
4.250%),
3/14/2025
b
52,842
1,391,513
5.750%, 
(LIBOR
3M
+
4.750%),
10/2/2025
b
1,385,946
MPH
Acquisition
Holdings,
LLC,
Term
Loan
1,243,926
3.750%, 
(LIBOR
3M
+
2.750%),
6/7/2023
b
1,236,438
Ortho-Clinical
Diagnostics
SA,
Term
Loan
772,166
3.359%, 
(LIBOR
1M
+
3.250%),
6/30/2025
b
770,429
Petco
Health
&
Wellness
Company,
Inc.,
Term
Loan
510,000
0.000%, 
(LIBOR
1M
+
3.250%),
3/4/2028
b,c,d
507,690
PetSmart,
Inc.,
Term
Loan
720,000
4.500%, 
(LIBOR
3M
+
3.750%),
2/12/2028
b
718,344
Plantronics,
Inc.,
Term
Loan
183,586
2.650%, 
(LIBOR
1M
+
2.500%),
7/2/2025
b
180,964
Principal
Amount
Bank
Loans
(0.8%)
a
Value
Consumer
Non-Cyclical
(0.1%)
-
continued
Precision
Medicine
Group,
LLC,
Delayed
Draw
$
59,423
0.000%, 
(LIBOR
1M
+
3.000%),
11/20/2027
b,c,d
$
58,941
Precision
Medicine
Group,
LLC,
Term
Loan
454,438
3.750%, 
(LIBOR
3M
+
3.750%),
11/20/2027
b
450,748
Sotera
Health
Holdings,
LLC,
Term
Loan
291,000
3.250%, 
(LIBOR
3M
+
2.750%),
12/13/2026
b
289,909
Total
9,792,451
Energy
(<0.1%)
Calpine
Corporation,
Term
Loan
553,612
2.610%, 
(LIBOR
1M
+
2.500%),
12/16/2027
b
549,760
Energizer
Holdings,
Inc.,
Term
Loan
135,000
2.750%, 
(LIBOR
1M
+
2.250%),
12/22/2027
b
134,268
Lealand
Finance
Company
BV,
Term
Loan
120,870
0.000%,PIK
3.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b,f
65,672
Total
749,700
Financials
(0.1%)
Asurion,
LLC,
Term
Loan
613,463
3.359%, 
(LIBOR
1M
+
3.250%),
12/23/2026
b
609,193
225,000
3.359%, 
(LIBOR
1M
+
3.250%),
8/3/2027
b,c,d
223,265
400,000
5.359%, 
(LIBOR
1M
+
5.250%),
2/3/2028
b
407,000
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
240,410
2.500%, 
(LIBOR
1M
+
1.750%),
1/15/2025
b
239,403
Blackstone
CQP
Holdco,
LP,
Term
Loan
707,400
3.687%, 
(LIBOR
3M
+
3.500%),
9/30/2024
b
705,193
Digicel
International
Finance,
Ltd.,
Term
Loan
374,031
3.510%, 
(LIBOR
3M
+
3.250%),
5/27/2024
b
354,705
MoneyGram
International,
Inc.,
Term
Loan
397,991
7.000%, 
(LIBOR
3M
+
6.000%),
6/30/2023
b
397,792
Newco
Financing
Partnership,
Term
Loan
82,500
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,c,d
82,235
Northriver
Midstream
Finance,
LP,
Term
Loan
547,992
3.488%, 
(LIBOR
3M
+
3.250%),
10/1/2025
b
539,860
Tronox
Finance,
LLC,
Term
Loan
375,000
2.648%, 
(LIBOR
3M
+
2.500%),
3/11/2028
b
372,735
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
230
Principal
Amount
Bank
Loans
(0.8%)
a
Value
Financials
(0.1%)
-
continued
UPC
Financing
Partnership,
Term
Loan
$
82,500
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,c,d
$
82,235
Total
4,013,616
Technology
(0.1%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
473,227
3.712%, 
(LIBOR
3M
+
3.500%),
8/21/2026
b
453,905
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
1,085,000
3.609%, 
(LIBOR
1M
+
3.500%),
6/30/2027
b
1,079,119
Prime
Security
Services
Borrower,
LLC,
Term
Loan
1,350,000
3.500%, 
(LIBOR
1M
+
2.750%),
9/23/2026
b
1,343,669
Rackspace
Technology
Global,
Inc.,
Term
Loan
870,000
3.500%, 
(LIBOR
3M
+
2.750%),
2/9/2028
b
861,570
SS&C
Technologies,
Inc.,
Term
Loan
56,139
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,c,d
55,490
43,435
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,c,d
42,932
Verscend
Holding
Corporation,
Term
Loan
200,000
0.000%, 
(LIBOR
1M
+
4.000%),
8/27/2025
b,c,d
199,774
Zayo
Group
Holdings,
Inc.,
Term
Loan
932,974
0.000%, 
(LIBOR
1M
+
3.000%),
3/9/2027
b
924,791
Total
4,961,250
Transportation
(<0.1%)
American
Airlines,
Inc.,
Term
Loan
1,040,000
0.000%, 
(LIBOR
1M
+
4.750%),
3/24/2028
b,c,d
1,064,378
Genesee
&
Wyoming,
Inc.,
Term
Loan
603,900
2.203%, 
(LIBOR
3M
+
2.000%),
12/30/2026
b
601,448
Mileage
Plus
Holdings,
LLC,
Term
Loan
335,000
6.250%, 
(LIBOR
3M
+
5.250%),
6/20/2027
b
355,572
SkyMiles
IP,
Ltd.,
Term
Loan
130,000
4.750%, 
(LIBOR
3M
+
3.750%),
10/20/2027
b
136,370
United
Airlines,
Inc.,
Term
Loan
227,044
1.865%, 
(LIBOR
1M
+
1.750%),
4/1/2024
b
220,192
Total
2,377,960
Utilities
(<0.1%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
105,791
2.375%, 
(LIBOR
1M
+
2.250%),
9/24/2026
b
105,791
Principal
Amount
Bank
Loans
(0.8%)
a
Value
Utilities
(<0.1%)
-
continued
Core
and
Main,
LP,
Term
Loan
$
618,103
3.750%, 
(LIBOR
3M
+
2.750%),
8/1/2024
b
$
615,136
EnergySolutions,
LLC,
Term
Loan
316,062
4.750%, 
(LIBOR
3M
+
3.750%),
5/11/2025
b
314,087
Exgen
Renewables
IV,
LLC,
Term
Loan
573,562
3.750%, 
(LIBOR
3M
+
3.000%),
12/11/2027
b,c,d
573,803
PG&E
Corporation,
Term
Loan
773,053
3.500%, 
(LIBOR
3M
+
3.000%),
6/23/2025
b
771,360
Talen
Energy
Supply,
LLC,
Term
Loan
247,225
3.859%, 
(LIBOR
1M
+
3.750%),
7/8/2026
b
239,808
Total
2,619,985
Total
Bank
Loans
(cost
$55,500,484)
55,426,488
Shares
Registered
Investment
Companies
(
47.1%
)
Value
Unaffiliated  (0.8%)
606,450
Invesco
Senior
Loan
ETF
13,420,739
17,169
ProShares
Ultra
S&P
500
g
1,756,560
1,201
ProShares
UltraPro
QQQ
109,603
62,707
SPDR
Bloomberg
Barclays
Short
Term
High
Yield
Bond
ETF
1,713,782
98,696
SPDR
S&P
500
ETF
Trust
39,116,186
13,777
SPDR
S&P
Oil
&
Gas
Exploration
ETF
g
1,120,621
Total
57,237,491
Affiliated  (46.3%)
9,148,618
Thrivent
Core
Emerging
Markets
Debt
Fund
88,467,141
6,068,384
Thrivent
Core
Emerging
Markets
Equity
Fund
74,459,067
10,919,938
Thrivent
Core
International
Equity
Fund
110,946,574
18,198,850
Thrivent
Core
Low
Volatility
Equity
Fund
236,585,054
33,286,811
Thrivent
Global
Stock
Portfolio
496,119,946
13,726,851
Thrivent
High
Yield
Portfolio
63,542,966
17,768,370
Thrivent
Income
Portfolio
194,178,083
54,722,469
Thrivent
International
Allocation
Portfolio
577,940,411
3,371,833
Thrivent
International
Index
Portfolio
44,095,484
26,680,566
Thrivent
Large
Cap
Value
Portfolio
581,460,250
10,445,951
Thrivent
Limited
Maturity
Bond
Portfolio
105,075,816
25,857,777
Thrivent
Mid
Cap
Stock
Portfolio
642,731,254
6,600,208
Thrivent
Small
Cap
Stock
Portfolio
157,726,488
Total
3,373,328,534
Total
Registered
Investment
Companies
(cost
$2,563,766,477)
3,430,566,025
Shares
Common
Stock
(
32.0%
)
Value
Communications
Services
(2.4%)
97,635
Activision
Blizzard,
Inc.
9,080,055
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
231
Shares
Common
Stock
(32.0%)
Value
Communications
Services
(2.4%)
-
continued
26,556
Alphabet,
Inc.,
Class
A
h
$
54,772,281
2,069
Alphabet,
Inc.,
Class
C
h
4,279,995
33,876
AMC
Networks,
Inc.
h
1,800,848
15,960
ANGI
Homeservices,
Inc.
h
207,480
67,625
AT&T,
Inc.
2,047,009
2,506
Cardlytics,
Inc.
h
274,908
10,348
Cars.com
Inc.
h
134,110
3,272
Charter
Communications,
Inc.
h
2,018,889
28,249
Comcast
Corporation
1,528,553
5,763
Consolidated
Communications
Holdings,
Inc.
h
41,494
5,354
Discovery,
Inc.,
Class
A
g,h
232,685
5,012
DISH
Network
Corporation
h
181,434
9,156
EchoStar
Corporation
h
219,744
33,061
Entercom
Communications
Corporation
h
173,570
117,207
Facebook,
Inc.
h
34,520,978
31,059
Gannett
Company,
Inc.
h
167,097
10,377
Gray
Television,
Inc.
190,937
5,135
Hemisphere
Media
Group,
Inc.
h
59,823
31,263
Interpublic
Group
of
Companies,
Inc.
912,880
121,679
Live
Nation
Entertainment,
Inc.
h
10,300,127
41,977
Lumen
Technologies,
Inc.
560,393
43,386
Match
Group,
Inc.
h
5,960,369
5,056
Omnicom
Group,
Inc.
374,902
196,619
QuinStreet,
Inc.
h
3,991,366
18,704
RingCentral,
Inc.
h
5,571,548
162
Roku,
Inc.
h
52,775
3,779
Scholastic
Corporation
113,786
13,302
Take-Two
Interactive
Software,
Inc.
h
2,350,463
22,210
Telephone
&
Data
Systems,
Inc.
509,942
216,476
Twitter,
Inc.
h
13,774,368
290,152
Uber
Technologies,
Inc.
h
15,816,186
3,612
United
States
Cellular
Corporation
h
131,766
22,780
Verizon
Communications,
Inc.
1,324,657
19,274
Walt
Disney
Company
h
3,556,438
10,234
WideOpenWest,
Inc.
h
139,080
5,129
Windstream
Services,
LLC,
Warrants
(Expires
12/31/2049)
h
65,820
2,324
Zillow
Group,
Inc.
h
305,327
Total
177,744,083
Consumer
Discretionary
(4.9%)
4,106
Aaron's
Company,
Inc.
105,442
13,840
Adient
plc
h
611,728
27,519
Amazon.com,
Inc.
h
85,145,988
37,547
American
Axle
&
Manufacturing
Holdings,
Inc.
h
362,704
14,597
American
Eagle
Outfitters,
Inc.
g
426,816
100,655
Aptiv
plc
h
13,880,325
43,110
At
Home
Group,
Inc.
h
1,237,257
6,203
AutoNation,
Inc.
h
578,244
754
AutoZone,
Inc.
h
1,058,842
35,699
Bally's
Corporation
h
2,319,721
7,616
Beazer
Homes
USA,
Inc.
h
159,327
8,035
Bed
Bath
&
Beyond,
Inc.
h
234,220
9,648
Big
5
Sporting
Goods
Corporation
g
151,474
7,396
Big
Lots,
Inc.
505,147
10,761
BJ's
Restaurants,
Inc.
h
624,999
5,139
Booking
Holdings,
Inc.
h
11,973,048
11,860
Bright
Horizons
Family
Solutions,
Inc.
h
2,033,397
4,837
Brinker
International,
Inc.
h
343,717
Shares
Common
Stock
(32.0%)
Value
Consumer
Discretionary
(4.9%)
-
continued
2,758
Brunswick
Corporation
$
263,030
14,934
Burlington
Stores,
Inc.
h
4,462,279
45,918
Caesars
Entertainment,
Inc.
h
4,015,529
2,627
Camping
World
Holdings,
Inc.
95,570
13,136
Carnival
Corporation
h
348,629
20,324
Carvana
Company
h
5,333,018
302
Cavco
Industries,
Inc.
h
68,134
65,869
Cedar
Fair,
LP
h
3,272,372
2,715
Century
Casinos,
Inc.
h
27,883
32,885
Chegg,
Inc.
h
2,816,929
48,332
Chewy,
Inc.
g,h
4,094,204
97,869
Chico's
FAS,
Inc.
h
323,946
10,743
Children's
Place,
Inc.
h
748,787
11,037
Chipotle
Mexican
Grill,
Inc.
h
15,681,590
33,170
Choice
Hotels
International,
Inc.
3,558,809
1,420
Churchill
Downs,
Inc.
322,936
222,045
Cooper-Standard
Holdings,
Inc.
h
8,064,674
4,365
Cracker
Barrel
Old
Country
Store,
Inc.
754,621
35,944
Crocs,
Inc.
h
2,891,695
22,073
Culp,
Inc.
339,703
5,049
D.R.
Horton,
Inc.
449,967
21,452
Dana,
Inc.
521,927
7,570
Darden
Restaurants,
Inc.
1,074,940
3,195
Deckers
Outdoor
Corporation
h
1,055,692
18,229
Designer
Brands,
Inc.
h
317,185
21,109
Dick's
Sporting
Goods,
Inc.
1,607,450
9,143
Dillard's,
Inc.
882,940
8,018
Domino's
Pizza,
Inc.
2,948,940
5,473
Dorman
Products,
Inc.
h
561,749
315,040
Duluth
Holdings,
Inc.
g,h
5,336,778
32,059
Emerald
Holding,
Inc.
h
176,966
4,703
Ethan
Allen
Interiors,
Inc.
129,850
5,367
Etsy,
Inc.
h
1,082,363
1,352
Expedia
Group,
Inc.
h
232,706
38,225
Farfetch,
Ltd.
g,h
2,026,689
33,671
Five
Below,
Inc.
h
6,424,090
8,476
Foot
Locker,
Inc.
476,775
1,444
Fox
Factory
Holding
Corporation
h
183,475
53,866
Gap,
Inc.
h
1,604,129
3,983
Garmin,
Ltd.
525,159
62,772
Gentex
Corporation
2,239,077
8,239
Genuine
Parts
Company
952,346
10,317
G-III
Apparel
Group,
Ltd.
h
310,954
15,144
Goodyear
Tire
&
Rubber
Company
h
266,080
327
Graham
Holdings
Company
183,918
5,132
Grand
Canyon
Education,
Inc.
h
549,637
6,045
Group
1
Automotive,
Inc.
953,841
22,425
Guess
?,
Inc.
526,987
41,010
Hanesbrands,
Inc.
806,667
12,826
Harley-Davidson,
Inc.
514,323
3,672
Helen
of
Troy,
Ltd.
h
773,544
18,003
Home
Depot,
Inc.
5,495,416
21,833
IAA,
Inc.
h
1,203,872
6,509
KB
Home
302,864
15,633
Knoll,
Inc.
258,101
75,586
Kohl's
Corporation
4,505,681
28,959
L
Brands,
Inc.
h
1,791,404
18,202
Lear
Corporation
3,299,112
87,861
Leggett
&
Platt,
Inc.
4,010,855
2,007
Libbey,
Inc.
h
2,960
18,012
Lithia
Motors,
Inc.
7,026,301
8,717
Lowe's
Companies,
Inc.
1,657,799
1,072
Lululemon
Athletica,
Inc.
h
328,793
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
232
Shares
Common
Stock
(32.0%)
Value
Consumer
Discretionary
(4.9%)
-
continued
4,591
M.D.C.
Holdings,
Inc.
$
272,705
4,907
M/I
Homes,
Inc.
h
289,856
158,330
Macy's,
Inc.
h
2,563,363
24,685
Magnite,
Inc.
h
1,027,143
2,184
Marriott
Vacations
Worldwide
Corporation
h
380,409
61,378
Mattel,
Inc.
h
1,222,650
11,807
McDonald's
Corporation
2,646,421
964
Mercadolibre,
Inc.
h
1,419,143
6,599
Meritage
Homes
Corporation
h
606,580
60,687
Miller
Industries,
Inc.
2,803,133
2,442
Mohawk
Industries,
Inc.
h
469,621
5,556
Nautilus,
Inc.
h
86,896
20,736
NIKE,
Inc.
2,755,607
3,420
Noodles
&
Company
h
35,397
67,689
Nordstrom,
Inc.
h
2,563,382
42,943
Norwegian
Cruise
Line
Holdings,
Ltd.
g,h
1,184,797
1,476
NVR,
Inc.
h
6,953,333
30,901
Ollie's
Bargain
Outlet
Holdings,
Inc.
h
2,688,387
16,582
Overstock.com,
Inc.
h
1,098,723
46,626
Park
Hotels
&
Resorts,
Inc.
h
1,006,189
17,189
Penn
National
Gaming,
Inc.
h
1,802,095
91,618
Planet
Fitness,
Inc.
h
7,082,071
18,204
Playa
Hotels
and
Resorts
NV
h
132,889
4,150
Pool
Corporation
1,432,746
21,033
PulteGroup,
Inc.
1,102,971
5,575
Purple
Innovation,
Inc.
h
176,449
1,320
PVH
Corporation
h
139,524
110,248
Qurate
Retail,
Inc.
1,296,516
512
Revolve
Group,
Inc.
h
23,004
340
RH
h
202,844
13,379
Ross
Stores,
Inc.
1,604,276
4,634
Royal
Caribbean
Cruises,
Ltd.
h
396,717
25,428
Ruth's
Hospitality
Group,
Inc.
h
631,377
88,438
Skyline
Corporation
h
4,002,704
22,469
Sleep
Number
Corporation
h
3,224,077
6,767
Sony
Corporation
ADR
717,370
13,325
Standard
Motor
Products,
Inc.
554,054
2,930
Stitch
Fix,
Inc.
h
145,152
85,202
Stoneridge,
Inc.
h
2,710,276
2,532
Strategic
Education,
Inc.
232,716
80,711
Taylor
Morrison
Home
Corporation
h
2,486,706
41,017
Tenneco,
Inc.
h
439,702
33,207
Tesla,
Inc.
h
22,179,952
31,028
Texas
Roadhouse,
Inc.
h
2,976,826
3,433
Thor
Industries,
Inc.
462,562
33,935
Toll
Brothers,
Inc.
1,925,133
1,822
TopBuild
Corporation
h
381,581
28,617
Tri
Pointe
Homes,
Inc.
h
582,642
17,194
TripAdvisor,
Inc.
h
924,865
40,609
Tupperware
Brands
Corporation
h
1,072,484
11,564
Ulta
Beauty,
Inc.
h
3,575,242
4,282
Vail
Resorts,
Inc.
h
1,248,888
1,458
Whirlpool
Corporation
321,270
1,879
Williams-Sonoma,
Inc.
336,717
34,185
Wingstop,
Inc.
4,347,306
82
Winmark
Corporation
15,287
10,331
Workhorse
Group,
Inc.
g,h
142,258
36,706
Wyndham
Hotels
&
Resorts,
Inc.
2,561,345
3,336
YETI
Holdings,
Inc.
h
240,893
64,820
Zumiez,
Inc.
h
2,780,778
Total
353,503,036
Shares
Common
Stock
(32.0%)
Value
Consumer
Staples
(0.7%)
7,160
Altria
Group,
Inc.
$
366,306
74,507
BJ's
Wholesale
Club
Holdings,
Inc.
h
3,342,384
788
Boston
Beer
Company,
Inc.
h
950,549
2,681
Casey's
General
Stores,
Inc.
579,605
152
Church
&
Dwight
Company,
Inc.
13,277
20,985
Colgate-Palmolive
Company
1,654,248
9,907
Costco
Wholesale
Corporation
3,492,019
61,165
Coty,
Inc.
h
551,097
15,992
Darling
Ingredients,
Inc.
h
1,176,691
225,436
e.l.f.
Beauty,
Inc.
h
6,048,448
1,436
Edgewell
Personal
Care
Company
56,866
5,885
Flowers
Foods,
Inc.
140,063
10,866
Hain
Celestial
Group,
Inc.
h
473,758
3,550
Hershey
Company
561,468
3,563
Ingredion,
Inc.
320,385
19,918
John
B.
Sanfilippo
&
Son,
Inc.
1,799,990
2,645
Kimberly-Clark
Corporation
367,787
54,599
Lamb
Weston
Holdings,
Inc.
4,230,331
1,680
Medifast,
Inc.
355,858
27,491
Monster
Beverage
Corporation
h
2,504,155
22,457
NewAge,
Inc.
g,h
64,227
2,105
PepsiCo,
Inc.
297,752
6,427
Performance
Food
Group
Company
h
370,259
46,475
Philip
Morris
International,
Inc.
4,124,191
255,344
Primo
Water
Corporation
4,151,893
16,422
Procter
&
Gamble
Company
2,224,031
5,434
Seneca
Foods
Corporation
h
255,887
2,063
Spectrum
Brands
Holdings,
Inc.
175,355
1,750
Tootsie
Roll
Industries,
Inc.
g
57,978
192,997
Turning
Point
Brands,
Inc.
10,068,653
2,262
United
Natural
Foods,
Inc.
h
74,510
7,747
US
Foods
Holding
Corporation
h
295,316
4,545
Utz
Brands,
Inc.
112,671
5,685
Vector
Group,
Ltd.
79,306
9,975
Wal-Mart
Stores,
Inc.
1,354,904
133
WD-40
Company
40,722
Total
52,732,940
Energy
(0.5%)
36,149
Antero
Midstream
Corporation
326,426
143,787
Antero
Resources
Corporation
h
1,466,627
85,960
Archrock,
Inc.
815,760
2,121
Bonanza
Creek
Energy,
Inc.
h
75,783
17,037
BP
plc
ADR
414,851
143,025
Centennial
Resource
Development,
Inc.
g,h
600,705
7,577
Chevron
Corporation
793,994
49,261
Cimarex
Energy
Company
2,925,611
4,353
Clean
Energy
Fuels
Corporation
h
59,810
25,444
CNX
Resources
Corporation
h
374,027
8,543
ConocoPhillips
452,523
6,060
CONSOL
Energy,
Inc.
h
58,903
22,116
Continental
Resources,
Inc.
h
572,141
28,501
Core
Laboratories
NV
820,544
177,940
Devon
Energy
Corporation
3,887,989
24,362
Diamondback
Energy,
Inc.
1,790,363
11,998
Dorian
LPG,
Ltd.
h
157,534
85,727
EnLink
Midstream,
LLC
367,769
14,150
Enterprise
Products
Partners,
LP
311,583
20,437
EOG
Resources,
Inc.
1,482,296
3,052
Evolution
Petroleum
Corporation
10,316
34,294
Exterran
Corporation
h
115,228
11,376
Exxon
Mobil
Corporation
635,122
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
233
Shares
Common
Stock
(32.0%)
Value
Energy
(0.5%)
-
continued
56,940
Gevo,
Inc.
g,h
$
558,581
49,823
Gran
Tierra
Energy,
Inc.
g,h
34,866
40,203
Halliburton
Company
862,756
60,565
Helix
Energy
Solutions
Group,
Inc.
h
305,853
159,624
Helmerich
&
Payne,
Inc.
4,303,463
21,084
HollyFrontier
Corporation
754,386
137,795
Kinder
Morgan,
Inc.
2,294,287
17,552
Liberty
Oilfield
Services,
Inc.
h
198,162
100,362
Marathon
Oil
Corporation
1,071,866
8,338
Marathon
Petroleum
Corporation
446,000
50,010
McDermott
International,
Inc.
h
40,008
2,231
Nabors
Industries,
Ltd.
h
208,487
201,284
Nine
Energy
Service,
Inc.
h
462,953
39,630
Occidental
Petroleum
Corporation
1,054,951
22,746
Oceaneering
International,
Inc.
h
259,759
82,279
Patterson-UTI
Energy,
Inc.
586,649
3,633
Pioneer
Natural
Resources
Company
576,993
17,420
Plains
GP
Holdings,
LP
h
163,748
25,536
ProPetro
Holding
Corporation
h
272,214
3,260
Renewable
Energy
Group,
Inc.
h
215,290
21,724
Ring
Energy,
Inc.
g,h
50,182
58,150
Talos
Energy,
Inc.
h
700,126
12,481
Targa
Resources
Corporation
396,272
174,601
Transocean,
Ltd.
g,h
619,834
1,380
TravelCenters
of
America,
Inc.
h
37,439
2,295
Valero
Energy
Corporation
164,322
Total
35,155,352
Financials
(4.0%)
534
1st
Source
Corporation
25,408
9,436
AG
Mortgage
Investment
Trust,
Inc.
38,027
102,817
Air
Lease
Corporation
5,038,033
4,036
Alleghany
Corporation
h
2,527,706
7,709
Ally
Financial,
Inc.
348,524
44,568
American
Equity
Investment
Life
Holding
Company
1,405,229
69,444
American
Express
Company
9,822,159
29,293
American
Financial
Group,
Inc.
3,342,331
574
American
National
Group,
Inc.
61,917
2,932
Ameriprise
Financial,
Inc.
681,543
48,350
Ameris
Bancorp
2,538,858
97,839
Annaly
Capital
Management,
Inc.
841,415
48,813
Apollo
Commercial
Real
Estate
Finance,
Inc.
681,918
47,796
Arch
Capital
Group,
Ltd.
h
1,833,932
5,935
Argo
Group
International
Holdings,
Ltd.
298,649
34,477
Arthur
J.
Gallagher
&
Company
4,301,695
16,788
Artisan
Partners
Asset
Management,
Inc.
875,830
87,085
Associated
Banc-Corp
1,858,394
97,768
Assured
Guaranty,
Ltd.
4,133,631
9,634
Bancorp,
Inc.
h
199,616
53,785
Bank
of
America
Corporation
2,080,942
4,490
Bank
of
Marin
Bancorp
175,828
68,918
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
2,634,046
21,910
BankFinancial
Corporation
226,111
31,494
Banner
Corporation
1,679,575
10,472
Berkshire
Hathaway,
Inc.
h
2,675,282
67,738
Berkshire
Hills
Bancorp,
Inc.
1,511,912
4,300
BlackRock,
Inc.
3,242,028
9,633
Blackstone
Mortgage
Trust,
Inc.
298,623
143
BM
Technologies,
Inc.
e,h
1,583
Shares
Common
Stock
(32.0%)
Value
Financials
(4.0%)
-
continued
1,197
BOK
Financial
Corporation
$
106,916
153,840
Bridgewater
Bancshares,
Inc.
h
2,484,516
22,707
Brighthouse
Financial,
Inc.
h
1,004,785
58,196
BrightSphere
Investment
Group
1,186,034
3,986
Broadmark
Realty
Capital,
Inc.
41,693
33,474
Brookline
Bancorp,
Inc.
502,110
8,344
Brown
&
Brown,
Inc.
381,404
8,815
Byline
Bancorp,
Inc.
186,437
8,034
Capital
One
Financial
Corporation
1,022,166
32,835
Central
Pacific
Financial
Corporation
876,038
190,804
Charles
Schwab
Corporation
12,436,605
77,976
Chimera
Investment
Corporation
990,295
6,543
Chubb,
Ltd.
1,033,598
18,599
Cincinnati
Financial
Corporation
1,917,371
42,427
Citigroup,
Inc.
3,086,564
14,774
Citizens
Financial
Group,
Inc.
652,272
10,707
CME
Group,
Inc.
2,186,691
16,044
CNO
Financial
Group,
Inc.
389,709
106,162
Columbia
Banking
System,
Inc.
4,574,521
18,117
Comerica,
Inc.
1,299,714
3,401
Commerce
Bancshares,
Inc.
260,551
31,326
Community
Trust
Bancorp,
Inc.
1,379,284
4,271
Cowen,
Inc.
150,126
3,050
Cullen/Frost
Bankers,
Inc.
331,718
12,157
Customers
Bancorp,
Inc.
h
386,836
575
Diamond
Hill
Investment
Group,
Inc.
89,706
3,362
Dime
Community
Bancshares,
Inc.
101,331
4,942
Discover
Financial
Services
469,441
10,992
East
West
Bancorp,
Inc.
811,210
12,098
Ellington
Residential
Mortgage
REIT
148,926
997
Employers
Holdings,
Inc.
42,931
2,489
Encore
Capital
Group,
Inc.
h
100,132
9,312
Enova
International,
Inc.
h
330,390
651
Enstar
Group,
Ltd.
h
160,621
6,623
Enterprise
Financial
Services
Corporation
327,441
52,658
Equitable
Holdings,
Inc.
1,717,704
19,694
Essent
Group,
Ltd.
935,268
31,480
Evercore,
Inc.
4,147,175
563,788
Everi
Holdings,
Inc.
h
7,955,049
75,772
F.N.B.
Corporation
962,304
4,836
FactSet
Research
Systems,
Inc.
1,492,341
2,189
Federal
Agricultural
Mortgage
Corporation
220,476
23,747
Financial
Institutions,
Inc.
719,297
2,176
First
American
Financial
Corporation
123,270
28,901
First
Bancorp/Puerto
Rico
325,425
47,447
First
Busey
Corporation
1,217,015
58,097
First
Financial
Bancorp
1,394,328
16,408
First
Financial
Corporation
738,524
21,245
First
Horizon
Corporation
359,253
1,557
First
Mid-Illinois
Bancshares,
Inc.
68,399
48,694
First
Midwest
Bancorp,
Inc.
1,066,885
3,228
First
of
Long
Island
Corporation
68,595
38,201
First
Republic
Bank
6,370,017
68,266
Flagstar
Bancorp,
Inc.
3,078,797
3,886
Flushing
Financial
Corporation
82,500
153,601
Fulton
Financial
Corporation
2,615,825
39,215
Glacier
Bancorp,
Inc.
2,238,392
909
Goldman
Sachs
Group,
Inc.
297,243
54,866
Granite
Point
Mortgage
Trust,
Inc.
656,746
34,344
Great
Southern
Bancorp,
Inc.
1,946,274
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
234
Shares
Common
Stock
(32.0%)
Value
Financials
(4.0%)
-
continued
29,545
Great
Western
Bancorp,
Inc.
$
894,918
32,957
Hamilton
Lane,
Inc.
2,918,672
93,078
Hancock
Whitney
Corporation
3,910,207
16,386
Hanmi
Financial
Corporation
323,296
25,431
Hanover
Insurance
Group,
Inc.
3,292,297
116,174
Heartland
Financial
USA,
Inc.
5,838,905
38,115
Heritage
Commerce
Corporation
465,765
4,542
Hilltop
Holdings,
Inc.
155,018
1,255
HomeStreet,
Inc.
55,308
28,796
Hometrust
Bancshares,
Inc.
701,183
186,995
Hope
Bancorp,
Inc.
2,816,145
37,799
Horizon
Bancorp,
Inc.
702,305
34,964
Independent
Bank
Corporation
826,549
67,006
Invesco
Mortgage
Capital.
Inc.
268,694
71,171
Invesco,
Ltd.
1,794,933
23,088
J.P.
Morgan
Chase
&
Company
3,514,686
58,926
James
River
Group
Holdings,
Ltd.
2,688,204
23,386
Jefferies
Financial
Group,
Inc.
703,919
14,962
KeyCorp
298,941
33,339
Kinsale
Capital
Group,
Inc.
5,494,267
1,389
KKR
Real
Estate
Finance
Trust,
Inc.
25,544
26,982
Ladder
Capital
Corporation
318,388
13,254
Lakeland
Bancorp,
Inc.
231,017
34,477
Lincoln
National
Corporation
2,146,883
7,735
Loews
Corporation
396,651
330
Markel
Corporation
h
376,075
473
MarketAxess
Holdings,
Inc.
235,516
7,327
Marsh
&
McLennan
Companies,
Inc.
892,429
7,469
Mercantile
Bank
Corporation
242,518
43,604
Meridian
Bancorp,
Inc.
803,186
24,787
MetLife,
Inc.
1,506,802
263,598
MFA
Financial,
Inc.
1,072,844
10,462
Midland
States
Bancorp,
Inc.
290,216
45,973
MidWestOne
Financial
Group,
Inc.
1,423,784
3,751
Moody's
Corporation
1,120,086
13,047
Morgan
Stanley
1,013,230
28,393
Mr.
Cooper
Group,
Inc.
h
986,941
8,988
MSCI,
Inc.
3,768,489
58
Nasdaq,
Inc.
8,553
697
National
Western
Life
Group,
Inc.
173,553
49,203
Navient
Corporation
704,095
2,045
NBT
Bancorp,
Inc.
81,595
176,640
New
York
Community
Bancorp,
Inc.
2,229,197
23,812
New
York
Mortgage
Trust,
Inc.
106,440
15,846
NMI
Holdings,
Inc.
h
374,599
11,852
Northern
Trust
Corporation
1,245,764
16,058
OFG
Bancorp
363,232
43,093
Old
National
Bancorp
833,419
13,894
Old
Republic
International
Corporation
303,445
19,451
Old
Second
Bancorp,
Inc.
256,948
5,809
OneMain
Holdings,
Inc.
312,059
1,900
Oppenheimer
Holdings,
Inc.
76,095
47,232
PacWest
Bancorp
1,801,901
842
Peapack-Gladstone
Financial
Corporation
26,001
5,856
PennyMac
Mortgage
Investment
Trust
114,778
6,552
Peoples
Bancorp,
Inc.
217,330
79,537
Popular,
Inc.
5,593,042
36,674
Premier
Financial
Corporation
1,219,777
26,010
Primerica,
Inc.
3,844,798
9,568
PROG
Holdings,
Inc.
414,199
Shares
Common
Stock
(32.0%)
Value
Financials
(4.0%)
-
continued
10,708
Prosperity
Bancshares,
Inc.
$
801,922
25,054
QCR
Holdings,
Inc.
1,183,050
92,538
Radian
Group,
Inc.
2,151,508
12,203
Raymond
James
Financial,
Inc.
1,495,600
69,896
Redwood
Trust,
Inc.
727,617
15,650
Reinsurance
Group
of
America,
Inc.
1,972,682
5,180
RenaissanceRe
Holdings,
Ltd.
830,095
879
RLI
Corporation
98,070
35,609
S&P
Global,
Inc.
12,565,348
3,693
Safety
Insurance
Group,
Inc.
311,135
146,155
Seacoast
Banking
Corporation
of
Florida
h
5,296,657
39,542
SEI
Investments
Company
2,409,294
19,217
Selective
Insurance
Group,
Inc.
1,394,001
14,951
Signature
Bank
3,380,421
8,954
Simmons
First
National
Corporation
265,665
5,532
Southside
Bancshares,
Inc.
213,037
37,028
Starwood
Property
Trust,
Inc.
916,073
8,031
Sterling
Bancorp
184,874
2,600
Stifel
Financial
Corporation
166,556
77,934
Synovus
Financial
Corporation
3,565,480
9,917
T.
Rowe
Price
Group,
Inc.
1,701,757
8,123
Territorial
Bancorp,
Inc.
214,935
25,215
TMX
Group,
Ltd.
2,620,217
368
Tompkins
Financial
Corporation
30,434
2,797
Torchmark
Corporation
270,274
5,769
Towne
Bank
175,378
42,725
TPG
RE
Finance
Trust,
Inc.
478,520
15,324
TriCo
Bancshares
725,898
50,310
Triumph
Bancorp,
Inc.
h
3,893,491
10,432
Truist
Financial
Corporation
608,394
53,488
TrustCo
Bank
Corporation
394,207
14,288
Trustmark
Corporation
480,934
62,253
Two
Harbors
Investment
Corporation
456,314
183,793
Umpqua
Holdings
Corporation
3,225,567
27,184
United
Bankshares,
Inc.
1,048,759
1,665
Universal
Insurance
Holdings,
Inc.
23,876
3,233
Univest
Financial
Corporation
92,431
103,328
Unum
Group
2,875,618
42,328
Valley
National
Bancorp
581,587
10,173
Voya
Financial,
Inc.
647,410
1,167
Walker
&
Dunlop,
Inc.
119,898
9,514
Washington
Trust
Bancorp,
Inc.
491,208
2,380
Webster
Financial
Corporation
131,162
46,270
Wells
Fargo
&
Company
1,807,769
12,585
WesBanco,
Inc.
453,815
930
Westamerica
Bancorporation
58,385
151,054
Western
Alliance
Bancorp
14,265,540
68,991
Western
Asset
Mortgage
Capital
Corporation
220,081
1,067
Westwood
Holdings
Group,
Inc.
15,429
31,162
Wintrust
Financial
Corporation
2,362,080
24,541
Zions
Bancorporations
NA
1,348,773
1,377
Zurich
Insurance
Group
AG
586,122
Total
294,778,909
Health
Care
(4.3%)
15,432
Abbott
Laboratories
1,849,371
9,861
AbbVie,
Inc.
1,067,157
174,835
ACADIA
Pharmaceuticals,
Inc.
h
4,510,743
2,235
Acceleron
Pharma,
Inc.
h
303,088
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
235
Shares
Common
Stock
(32.0%)
Value
Health
Care
(4.3%)
-
continued
87,416
Adaptive
Biotechnologies
Corporation
h
$
3,519,368
7,591
ADMA
Biologics,
Inc.
g,h
13,360
13,355
Adverum
Biotechnologies,
Inc.
h
131,680
352
Align
Technology,
Inc.
h
190,619
1,182
Allakos,
Inc.
h
135,670
8,146
Altimmune,
Inc.
h
115,103
881
Amedisys,
Inc.
h
233,280
46,342
Amgen,
Inc.
11,530,353
44,940
AMN
Healthcare
Services,
Inc.
h
3,312,078
3,741
AnaptysBio,
Inc.
h
80,619
2,252
Anthem,
Inc.
808,355
421,343
Ardelyx,
Inc.
h
2,789,291
15,168
Arena
Pharmaceuticals,
Inc.
h
1,052,508
17,563
Argenx
SE
ADR
h
4,836,675
13,584
Arrowhead
Research
Corporation
h
900,755
33,511
Ascendis
Pharma
AS
ADR
h
4,318,898
9,028
Atara
Biotherapeutics,
Inc.
h
129,642
415
Atrion
Corporation
266,144
72,999
Axonics
Modulation
Technologies,
Inc.
h
4,371,910
5,070
Becton,
Dickinson
and
Company
1,232,770
1,455
Biogen,
Inc.
h
407,036
68,962
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
h
4,713,553
995
Bio-Rad
Laboratories,
Inc.
h
568,314
19,356
Bio-Techne
Corporation
7,392,637
4,190
BioXcel
Therapeutics,
Inc.
g,h
180,840
3,456
Bruker
Corporation
222,152
24,660
Catalent,
Inc.
h
2,596,945
6,038
Centene
Corporation
h
385,889
98,664
Cerner
Corporation
7,091,968
9,232
Charles
River
Laboratories
International,
Inc.
h
2,675,711
3,134
Chemed
Corporation
1,441,076
3,259
Cigna
Holding
Company
787,831
1,321
Co-Diagnostics,
Inc.
g,h
12,602
405
Cooper
Companies,
Inc.
155,556
16,959
CryoLife,
Inc.
h
382,934
5,785
CVS
Health
Corporation
435,206
6,799
CytomX
Therapeutics,
Inc.
h
52,556
1,666
Danaher
Corporation
374,983
32,143
Dexcom,
Inc.
h
11,551,873
6,924
Editas
Medicine,
Inc.
h
290,808
87,817
Edwards
Lifesciences
Corporation
h
7,345,014
9,380
Envista
Holdings
Corporation
h
382,704
271
Fate
Therapeutics,
Inc.
h
22,344
8,404
GlaxoSmithKline
plc
ADR
g
299,939
11,223
Global
Blood
Therapeutics,
Inc.
h
457,337
77,664
GoodRx
Holdings,
Inc.
g,h
3,030,449
65,830
Guardant
Health,
Inc.
h
10,048,949
9,589
Haemonetics
Corporation
h
1,064,475
60,142
Halozyme
Therapeutics,
Inc.
h
2,507,320
3,149
HCA
Healthcare,
Inc.
593,083
5,880
HealthEquity,
Inc.
h
399,840
14,404
Hill-Rom
Holdings,
Inc.
1,591,354
19,622
Humana,
Inc.
8,226,523
113
ICU
Medical,
Inc.
h
23,215
5,877
Illumina,
Inc.
h
2,257,121
67,586
Immunocore
Holdings
plc
ADR
h
2,877,136
11,746
ImmunoGen,
Inc.
h
95,143
37,841
InMode,
Ltd.
h
2,738,553
27,588
Inspire
Medical
Systems,
Inc.
h
5,710,440
20,636
Insulet
Corporation
h
5,384,345
Shares
Common
Stock
(32.0%)
Value
Health
Care
(4.3%)
-
continued
3,354
Integra
LifeSciences
Holdings
Corporation
h
$
231,728
13,016
Intuitive
Surgical,
Inc.
h
9,618,043
14,499
Invitae
Corporation
g,h
554,007
22,714
Ionis
Pharmaceuticals,
Inc.
h
1,021,221
12,207
IQVIA
Holding,
Inc.
h
2,357,660
10,284
iRhythm
Technologies,
Inc.
h
1,428,036
25,851
Johnson
&
Johnson
4,248,612
9,132
Kura
Oncology,
Inc.
h
258,162
3,036
Laboratory
Corporation
of
America
Holdings
h
774,271
6,380
Lannett
Company,
Inc.
h
33,686
91,216
Lantheus
Holdings,
Inc.
h
1,949,286
78,769
LHC
Group,
Inc.
h
15,061,420
37,373
Medtronic
plc
4,414,872
14,806
Merck
&
Company,
Inc.
1,141,395
850
Mettler-Toledo
International,
Inc.
h
982,336
913
Mirati
Therapeutics,
Inc.
h
156,397
7,047
Moderna,
Inc.
h
922,805
8,801
Molina
Healthcare,
Inc.
h
2,057,322
59,961
Natera,
Inc.
h
6,088,440
16,422
National
Healthcare
Corporation
1,279,438
4,455
Neogen
Corporation
h
396,005
52,438
Nevro
Corporation
h
7,315,101
5,693
Novavax,
Inc.
h
1,032,198
78,441
Novo
Nordisk
AS
ADR
5,288,492
14,257
NuVasive,
Inc.
h
934,689
8,044
Olink
Holding
AB
ADR
h
289,584
4,176
Omnicell,
Inc.
h
542,337
58,819
OPKO
Health,
Inc.
g,h
252,333
3,237
Orthifix
Medical,
Inc.
h
140,324
2,826
Owens
&
Minor,
Inc.
106,229
5,056
Precigen,
Inc.
h
34,836
13,461
Premier,
Inc.
455,655
50,991
Pulmonx
Corporation
h
2,332,328
984
Quidel
Corporation
h
125,883
8,406
Reata
Pharmaceuticals,
Inc.
h
838,078
21,167
Repligen
Corporation
h
4,115,076
1,542
Replimune
Group,
Inc.
h
47,046
4,014
Sage
Therapeutics,
Inc.
h
300,448
8,612
Sarepta
Therapeutics,
Inc.
h
641,852
928
Seres
Therapeutics,
Inc.
h
19,108
81,784
Silk
Road
Medical,
Inc.
h
4,142,360
37,959
Stryker
Corporation
9,246,053
648
Surmodics,
Inc.
h
36,333
59,295
Syneos
Health,
Inc.
h
4,497,526
119,901
Tactile
Systems
Technology,
Inc.
h
6,533,405
30,791
Teladoc
Health,
Inc.
h
5,596,264
15,082
Teleflex,
Inc.
6,265,968
4,924
Tenet
Healthcare
Corporation
h
256,048
31,745
Thermo
Fisher
Scientific,
Inc.
14,487,783
53,019
Travere
Therapeutics,
Inc.
h
1,323,884
2,671
U.S.
Physical
Therapy,
Inc.
278,051
2,295
United
Therapeutics
Corporation
h
383,885
10,942
UnitedHealth
Group,
Inc.
4,071,190
88,100
Vaxart,
Inc.
g,h
533,005
63,859
VBI
Vaccines,
Inc.
g,h
198,601
45,257
Veeva
Systems,
Inc.
h
11,822,939
77,363
Viatris,
Inc.
h
1,080,761
155,293
Viemed
Healthcare,
Inc.
h
1,571,565
7,336
ViewRay,
Inc.
h
31,912
2,710
Vocera
Communications,
Inc.
h
104,227
65,856
Vor
BioPharma,
Inc.
h
2,838,394
1,274
Waters
Corporation
h
362,033
1,409
Zimmer
Biomet
Holdings,
Inc.
225,553
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
236
Shares
Common
Stock
(32.0%)
Value
Health
Care
(4.3%)
-
continued
81,156
Zoetis,
Inc.
$
12,780,447
62,566
Zymeworks,
Inc.
g,h
1,975,834
Total
314,905,951
Industrials
(4.3%)
2,860
Advanced
Drainage
Systems,
Inc.
295,695
14,410
AECOM
h
923,825
7,654
Allegion
plc
961,495
150,430
Altra
Industrial
Motion
Corporation
8,321,788
26,697
AMETEK,
Inc.
3,410,008
3,281
Apogee
Enterprises,
Inc.
134,127
3,359
Armstrong
World
Industries,
Inc.
302,612
114,974
ASGN,
Inc.
h
10,973,119
6,251
Axon
Enterprise,
Inc.
h
890,267
39,428
AZZ,
Inc.
1,985,200
124,503
Badger
Daylighting,
Ltd.
4,247,190
19,537
Blink
Charging
Company
g,h
802,971
22,314
Bloom
Energy
Corporation
h
603,594
964
Boeing
Company
h
245,550
6,835
Carlisle
Companies,
Inc.
1,124,904
50,464
CBIZ,
Inc.
h
1,648,154
64,828
Chart
Industries,
Inc.
h
9,228,266
233
Copart,
Inc.
h
25,306
6,760
CRA
International,
Inc.
504,566
66,961
Crane
Company
6,288,308
24,587
CSW
Industrials,
Inc.
3,319,245
3,951
CSX
Corporation
380,955
163
Cummins,
Inc.
42,235
68,483
Curtiss-Wright
Corporation
8,122,084
13,613
Delta
Air
Lines,
Inc.
h
657,236
2,723
Diamond
S
Shipping,
Inc.
h
27,312
5,318
Douglas
Dynamics,
Inc.
245,426
1,679
Dycom
Industries,
Inc.
h
155,895
14,331
Eaton
Corporation
plc
1,981,691
20,686
EMCOR
Group,
Inc.
2,320,142
21,090
Emerson
Electric
Company
1,902,740
18,788
Encore
Wire
Corporation
1,261,238
3,675
Expeditors
International
of
Washington,
Inc.
395,761
32,421
Forrester
Research,
Inc.
h
1,377,244
74,125
Forward
Air
Corporation
6,583,041
51,888
FuelCell
Energy,
Inc.
h
747,706
10,503
GATX
Corporation
974,048
15,204
Generac
Holdings,
Inc.
h
4,978,550
15,010
General
Dynamics
Corporation
2,725,216
13,423
Gorman-Rupp
Company
444,436
4,561
Greenbrier
Companies,
Inc.
215,370
1,645
Heico
Corporation
206,941
49,168
Helios
Technologies,
Inc.
3,582,872
53,378
Honeywell
International,
Inc.
11,586,762
202,787
Howmet
Aerospace,
Inc.
h
6,515,546
21,806
Hubbell,
Inc.
4,075,323
4,050
ICF
International,
Inc.
353,970
27,625
IDEX
Corporation
5,782,465
1,650
Illinois
Tool
Works,
Inc.
365,508
345
Insperity,
Inc.
28,890
3,288
International
Seaways,
Inc.
63,721
658
JB
Hunt
Transport
Services,
Inc.
110,590
16,908
JetBlue
Airways
Corporation
h
343,909
1,441
John
Bean
Technologies
Corporation
192,143
16,205
Johnson
Controls
International
plc
966,952
2,295
Kansas
City
Southern
605,696
1,463
Kimball
International,
Inc.
20,482
9,467
L3Harris
Technologies,
Inc.
1,918,772
Shares
Common
Stock
(32.0%)
Value
Industrials
(4.3%)
-
continued
21,618
Landstar
System,
Inc.
$
3,568,267
3,258
Lennox
International,
Inc.
1,015,160
96,296
Lincoln
Electric
Holdings,
Inc.
11,838,630
26,033
Lockheed
Martin
Corporation
9,619,194
57,444
Manpower,
Inc.
5,681,212
2,784
Masonite
International
Corporation
h
320,828
79,974
Mercury
Systems,
Inc.
h
5,650,163
320,229
Meritor,
Inc.
h
9,421,137
12,002
Mesa
Air
Group,
Inc.
h
161,427
78,219
Middleby
Corporation
h
12,964,799
22,470
MSC
Industrial
Direct
Company,
Inc.
2,026,569
79,848
NAPCO
Security
Technologies,
Inc.
h
2,781,106
2,369
Nordson
Corporation
470,673
31,248
Norfolk
Southern
Corporation
8,390,713
7,291
Northrop
Grumman
Corporation
2,359,659
4,318
Nutrien,
Ltd.
232,697
14,336
Old
Dominion
Freight
Line,
Inc.
3,446,518
3,490
Otis
Worldwide
Corporation
238,891
4,827
Parker-Hannifin
Corporation
1,522,581
83,884
Pitney
Bowes,
Inc.
691,204
4,396
Primoris
Services
Corporation
145,640
14,139
Quad/Graphics,
Inc.
h
49,911
70,947
Ranpak
Holdings
Corporation
h
1,423,197
112,834
Raven
Industries,
Inc.
4,324,927
6,417
Raytheon
Technologies
Corporation
495,842
17,211
RBC
Bearings,
Inc.
h
3,386,608
92,820
Regal-Beloit
Corporation
13,243,558
118,696
Ritchie
Brothers
Auctioneers,
Inc.
6,949,651
92,474
Rush
Enterprises,
Inc.
4,607,979
5,408
Ryder
System,
Inc.
409,115
15,339
Saia,
Inc.
h
3,536,867
30,130
Simpson
Manufacturing
Company,
Inc.
3,125,385
6,070
SkyWest,
Inc.
h
330,694
36,693
Smith
&
Wesson
Brands,
Inc.
640,293
3,634
Snap-On,
Inc.
838,509
5,251
Southwest
Airlines
Company
h
320,626
26,960
Spirit
Airlines,
Inc.
g,h
994,824
39,365
Standex
International
Corporation
3,762,113
2,764
Sterling
Construction
Company,
Inc.
h
64,125
192,850
Summit
Materials,
Inc.
h
5,403,657
74,574
Sun
Country
Airlines
Holdings,
Inc.
h
2,556,397
1,040
Sunrun,
Inc.
h
62,899
9,032
Technip
Energies
N.V.
ADR
g,h
135,209
3,664
Teledyne
Technologies,
Inc.
h
1,515,614
3,078
Tetra
Tech,
Inc.
417,746
5,531
Thermon
Group
Holdings,
Inc.
h
107,799
3,807
Timken
Company
309,014
222
Toro
Company
22,897
960
Trane
Technologies
plc
158,938
59,143
TransUnion
5,322,870
28,212
Trex
Company,
Inc.
h
2,582,527
43,623
TriMas
Corporation
h
1,322,649
23,112
Tutor
Perini
Corporation
h
437,972
2,422
UniFirst
Corporation
541,826
12,201
Union
Pacific
Corporation
2,689,222
3,622
United
Parcel
Service,
Inc.
615,704
25,823
United
Rentals,
Inc.
h
8,503,772
13,472
Valmont
Industries,
Inc.
3,201,890
6,446
Verisk
Analytics,
Inc.
1,138,944
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
237
Shares
Common
Stock
(32.0%)
Value
Industrials
(4.3%)
-
continued
5,169
Waste
Connections,
Inc.
$
558,149
9,430
Watsco,
Inc.
2,458,873
1,446
Watts
Water
Technologies,
Inc.
171,799
5,866
Welbilt,
Inc.
h
95,323
11,038
Werner
Enterprises,
Inc.
520,662
47,138
WESCO
International,
Inc.
h
4,078,851
53,700
Willdan
Group,
Inc.
h
2,204,385
7,242
Woodward,
Inc.
873,602
11,344
XPO
Logistics,
Inc.
h
1,398,715
5,180
Xylem,
Inc.
544,832
Total
309,499,087
Information
Technology
(8.1%)
3,438
3D
Systems
Corporation
h
94,339
11,590
Accenture
plc
3,201,738
45,756
Adobe,
Inc.
h
21,751,030
422
ADTRAN,
Inc.
7,039
22,316
Advanced
Energy
Industries,
Inc.
2,436,238
66,334
Agilysys,
Inc.
h
3,181,379
13,331
Alliance
Data
Systems
Corporation
1,494,272
4,937
Ambarella,
Inc.
h
495,625
69,125
Amphenol
Corporation
4,560,176
2,468
Analog
Devices,
Inc.
382,737
155,257
Anaplan,
Inc.
h
8,360,590
831
ANSYS,
Inc.
h
282,174
569,361
Apple,
Inc.
69,547,446
7,790
Aspen
Technology,
Inc.
h
1,124,331
13,541
Atlassian
Corporation
plc
h
2,853,901
39,391
Avalara,
Inc.
h
5,255,941
376
Avnet,
Inc.
15,608
45,420
Axcelis
Technologies,
Inc.
h
1,866,308
72,299
Bandwidth,
Inc.
g,h
9,163,175
10,555
Belden,
Inc.
468,325
26,177
Benchmark
Electronics,
Inc.
809,393
160,679
BigCommerce
Holdings,
Inc.
h
9,287,246
5,333
Bill.com
Holdings,
Inc.
h
775,952
20,654
Blackline,
Inc.
h
2,238,894
323
Broadcom,
Ltd.
149,762
1,888
Broadridge
Financial
Solutions,
Inc.
289,053
942
CACI
International,
Inc.
h
232,354
56,421
Calix,
Inc.
h
1,955,552
16,712
CDK
Global,
Inc.
903,451
6,699
CDW
Corporation
1,110,359
2,621
Ceridian
HCM
Holding,
Inc.
h
220,872
43,997
Ciena
Corporation
h
2,407,516
30,230
Cisco
Systems,
Inc.
1,563,193
29,154
Cognex
Corporation
2,419,491
45,448
Computer
Services,
Inc.
2,681,432
996
Concentrix
Corporation
h
149,121
15,589
Coupa
Software,
Inc.
h
3,967,089
9,469
Cree,
Inc.
h
1,023,883
8,493
CTS
Corporation
263,793
46,344
Descartes
Systems
Group,
Inc.
h
2,822,813
14,308
Diebold
Nixdorf,
Inc.
h
202,172
19,775
DocuSign,
Inc.
h
4,003,449
107,270
Dolby
Laboratories,
Inc.
10,589,694
101
Domo,
Inc.
h
5,685
7,490
Dropbox,
Inc.
h
199,683
5,689
DSP
Group,
Inc.
h
81,068
70,213
Elastic
NV
h
7,807,686
53,570
Endava
plc
ADR
h
4,536,843
5,424
Enphase
Energy,
Inc.
h
879,556
7,435
EPAM
Systems,
Inc.
h
2,949,390
9,891
ePlus,
Inc.
h
985,539
Shares
Common
Stock
(32.0%)
Value
Information
Technology
(8.1%)
-
continued
49,803
Euronet
Worldwide,
Inc.
h
$
6,887,755
5,197
ExlService
Holdings,
Inc.
h
468,562
15,929
eXp
World
Holdings,
Inc.
h
725,566
8,482
F5
Networks,
Inc.
h
1,769,515
18,660
Fastly,
Inc.
g,h
1,255,445
10,743
First
Solar,
Inc.
h
937,864
39,316
Five9,
Inc.
h
6,146,270
6,139
FleetCor
Technologies,
Inc.
h
1,649,120
27,353
Global
Payments,
Inc.
5,513,818
48,648
Health
Catalyst,
Inc.
g,h
2,275,267
6,786
Intuit,
Inc.
2,599,445
384
IPG
Photonics
Corporation
h
81,001
16,052
Jack
Henry
&
Associates,
Inc.
2,435,409
3,182
KLA-Tencor
Corporation
1,051,333
6,157
Lam
Research
Corporation
3,664,893
81,321
Lattice
Semiconductor
Corporation
h
3,661,071
10,396
Littelfuse,
Inc.
2,749,118
61,807
LivePerson,
Inc.
h
3,259,701
69,535
Lumentum
Holdings,
Inc.
h
6,352,022
7,013
Manhattan
Associates,
Inc.
h
823,186
75,176
Mastercard,
Inc.
26,766,415
4,361
MAXIMUS,
Inc.
388,303
1,579
MaxLinear,
Inc.
h
53,812
249,099
Medallia,
Inc.
h
6,947,371
298,762
Microsoft
Corporation
70,439,117
176
MicroStrategy,
Inc.
h
119,469
51,784
MKS
Instruments,
Inc.
9,601,789
35,484
Monolithic
Power
Systems,
Inc.
12,533,304
8,062
Motorola
Solutions,
Inc.
1,516,059
72,364
National
Instruments
Corporation
3,125,039
664
NetApp,
Inc.
48,253
11,514
Nice,
Ltd.
ADR
g,h
2,509,707
19,181
Nova
Measuring
Instruments,
Ltd.
h
1,745,663
15,878
Novanta,
Inc.
h
2,094,149
76,210
Nuance
Communications,
Inc.
h
3,325,804
40,018
NVIDIA
Corporation
21,366,811
13,853
Okta,
Inc.
h
3,053,617
29,984
Oracle
Corporation
2,103,977
14,067
Palo
Alto
Networks,
Inc.
h
4,530,418
9,401
Paychex,
Inc.
921,486
6,965
Paylocity
Holding
Corporation
h
1,252,516
139,317
PayPal
Holdings,
Inc.
h
33,831,740
23,098
Plantronics,
Inc.
h
898,743
26,111
Plexus
Corporation
h
2,398,034
9,657
Plug
Power,
Inc.
h
346,107
2,683
Progress
Software
Corporation
118,213
30,910
Q2
Holdings,
Inc.
h
3,097,182
11,938
QAD,
Inc.
794,832
14,146
Qorvo,
Inc.
h
2,584,474
84,031
QUALCOMM,
Inc.
11,141,670
20,278
Rogers
Corporation
h
3,816,522
59,290
SailPoint
Technologies
Holdings,
Inc.
h
3,002,446
83,963
Salesforce.com,
Inc.
h
17,789,241
560
Samsung
Electronics
Company,
Ltd.
GDR
1,020,982
13,684
ScanSource,
Inc.
h
409,836
18,564
Semtech
Corporation
h
1,280,916
31,758
ServiceNow,
Inc.
h
15,882,493
140,720
Sierra
Wireless,
Inc.
h
2,078,434
6,599
Silicon
Laboratories,
Inc.
h
930,921
12,061
SiTime
Corporation
h
1,189,215
2,275
Solaredge
Technology,
Ltd.
h
653,926
53,692
Sprout
Social,
Inc.
h
3,101,250
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
238
Shares
Common
Stock
(32.0%)
Value
Information
Technology
(8.1%)
-
continued
92,249
Square,
Inc.
h
$
20,945,135
104,192
STMicroelectronics
NV
ADR
g
3,993,679
3,541
SunPower
Corporation
g,h
118,446
4,757
SYNNEX
Corporation
546,294
5,011
TE
Connectivity,
Ltd.
646,970
31,373
Texas
Instruments,
Inc.
5,929,183
2,321
Trade
Desk,
Inc.
h
1,512,503
223,368
TTM
Technologies,
Inc.
h
3,238,836
1,467
Tyler
Technologies,
Inc.
h
622,786
7,609
Unisys
Corporation
h
193,421
2,877
ViaSat,
Inc.
g,h
138,297
11,692
Visa,
Inc.
2,475,547
1,430
VMware,
Inc.
g,h
215,144
2,144
Western
Union
Company
52,871
76,664
Workiva,
Inc.
h
6,766,365
15,523
Xerox
Holdings
Corporation
376,743
15,972
Zscaler,
Inc.
h
2,741,913
Total
589,685,106
Materials
(0.9%)
2,535
AdvanSix,
Inc.
h
67,989
25,167
Allegheny
Technologies,
Inc.
h
530,017
15,101
AptarGroup,
Inc.
2,139,359
6,864
Avery
Dennison
Corporation
1,260,574
14,972
Axalta
Coating
Systems,
Ltd.
h
442,872
807
Balchem
Corporation
101,206
3,085
Ball
Corporation
261,423
9,745
Cabot
Corporation
511,028
99,252
Carpenter
Technology
Corporation
4,084,220
3,856
Celanese
Corporation
577,667
14,349
CF
Industries
Holdings,
Inc.
651,158
24,651
Chemours
Company
688,009
33,068
Cleveland-Cliffs,
Inc.
g
664,997
72,081
Coeur
Mining,
Inc.
h
650,891
4,891
Eagle
Materials,
Inc.
657,399
39,572
Eastman
Chemical
Company
4,357,669
9,688
Ecolab,
Inc.
2,073,910
193,831
Element
Solutions,
Inc.
3,545,169
57,670
Ferroglobe
Representation
&
Warranty
Insurance
Trust
e,h
6
5,062
FMC
Corporation
559,908
8,944
Ingevity
Corporation
h
675,540
52,145
Innospec,
Inc.
5,354,770
397,392
Ivanhoe
Mines,
Ltd.
h
2,045,935
27,060
Kaiser
Aluminum
Corporation
2,990,130
2,420
Koppers
Holdings,
Inc.
h
84,119
2,590
LyondellBasell
Industries
NV
269,490
18,871
Martin
Marietta
Materials,
Inc.
6,337,259
10,538
Materion
Corporation
698,037
13,268
Minerals
Technologies,
Inc.
999,346
36,535
Myers
Industries,
Inc.
721,932
18,525
Neenah,
Inc.
951,814
287
NewMarket
Corporation
109,106
8,397
Nucor
Corporation
674,027
3,555
O-I
Glass,
Inc.
h
52,401
21,258
Olin
Corporation
807,166
4,899
Olympic
Steel,
Inc.
144,276
311
PPG
Industries,
Inc.
46,731
26,226
Quaker
Chemical
Corporation
6,393,112
1,096
Reliance
Steel
&
Aluminum
Company
166,910
4,920
RPM
International,
Inc.
451,902
21,811
Ryerson
Holding
Corporation
h
371,659
2,111
Scotts
Miracle-Gro
Company
517,132
18,058
Sensient
Technologies
Corporation
1,408,524
Shares
Common
Stock
(32.0%)
Value
Materials
(0.9%)
-
continued
15,512
Steel
Dynamics,
Inc.
$
787,389
25,144
SunCoke
Energy,
Inc.
176,259
52,164
UFP
Technologies,
Inc.
h
2,598,810
25,545
United
States
Lime
&
Minerals,
Inc.
3,415,622
4,275
United
States
Steel
Corporation
111,877
51,926
W.
R.
Grace
&
Company
3,108,290
Total
66,295,036
Real
Estate
(1.6%)
86,801
Agree
Realty
Corporation
5,842,575
1,331
Alexandria
Real
Estate
Equities,
Inc.
218,683
89,547
American
Campus
Communities,
Inc.
3,865,744
4,208
Apartment
Income
REIT
Corporation
179,934
71,161
Apartment
Investment
&
Management
Company
436,929
16,244
Armada
Hoffler
Properties,
Inc.
203,700
1,665
AvalonBay
Communities,
Inc.
307,209
985
Bluegreen
Vacations
Holding
Corporations
h
18,262
41,350
Camden
Property
Trust
4,544,779
52,833
CareTrust
REIT,
Inc.
1,230,216
59,281
CBRE
Group,
Inc.
h
4,689,720
10,761
Cedar
Realty
Trust,
Inc.
160,339
4,078
Centerspace
277,304
33,181
Colliers
International
Group,
Inc.
3,259,701
13,247
Colony
Credit
Real
Estate,
Inc.
112,864
8,536
Community
Healthcare
Trust,
Inc.
393,680
9,555
Corepoint
Lodging,
Inc.
h
86,282
5,442
CoStar
Group,
Inc.
h
4,472,725
9,069
CubeSmart
343,080
208,988
Cushman
and
Wakefield
plc
h
3,410,684
1,303
Digital
Realty
Trust,
Inc.
183,515
12,366
Diversified
Healthcare
Trust
59,109
4,507
Douglas
Emmett,
Inc.
141,520
4,274
Duke
Realty
Corporation
179,209
15,152
EastGroup
Properties,
Inc.
2,170,979
21,180
EPR
Properties
986,776
121,282
Essential
Properties
Realty
Trust,
Inc.
2,768,868
2,225
Essex
Property
Trust,
Inc.
604,844
5,182
Extra
Space
Storage,
Inc.
686,874
13,012
Farmland
Partners,
Inc.
145,865
86,857
First
Industrial
Realty
Trust,
Inc.
3,977,182
22,698
FirstService
Corporation
3,363,617
92,728
Four
Corners
Property
Trust,
Inc.
2,540,747
4,405
Gaming
and
Leisure
Properties,
Inc.
186,904
13,839
Getty
Realty
Corporation
391,920
5,223
Gladstone
Commercial
Corporation
102,162
21,237
Gladstone
Land
Corporation
388,637
8,994
Global
Medical
REIT,
Inc.
117,911
48,282
Healthcare
Realty
Trust,
Inc.
1,463,910
71,606
Healthcare
Trust
of
America,
Inc.
1,974,893
1,789
Highwoods
Properties,
Inc.
76,820
27,288
Host
Hotels
&
Resorts,
Inc.
h
459,803
133,624
Independence
Realty
Trust,
Inc.
2,031,085
30,278
Industrial
Logistics
Properties
Trust
700,330
11,853
Innovative
Industrial
Properties,
Inc.
2,135,436
4,285
Iron
Mountain,
Inc.
158,588
7,114
Jones
Lang
LaSalle,
Inc.
h
1,273,691
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
239
Shares
Common
Stock
(32.0%)
Value
Real
Estate
(1.6%)
-
continued
66,584
Kilroy
Realty
Corporation
$
4,369,908
18,627
Lexington
Realty
Trust
206,946
18,868
Life
Storage,
Inc.
1,621,705
82,758
Medical
Properties
Trust,
Inc.
1,761,090
117,697
MGIC
Investment
Corporation
1,630,103
2,796
National
Health
Investors,
Inc.
202,095
47,365
National
Retail
Properties,
Inc.
2,087,376
156,474
National
Storage
Affiliates
Trust
6,248,007
154,833
New
Residential
Investment
Corporation
1,741,871
18,360
New
Senior
Investment
Group,
Inc.
114,383
35,011
NexPoint
Residential
Trust,
Inc.
1,613,657
15,783
Omega
Healthcare
Investors,
Inc.
578,131
9,515
One
Liberty
Properties,
Inc.
211,899
1,539
Plymouth
Industrial
REIT,
Inc.
25,932
18,562
Preferred
Apartment
Communities,
Inc.
182,836
10,635
Public
Storage,
Inc.
2,624,293
38,168
Rayonier,
Inc.
REIT
1,230,918
27,153
Realty
Income
Corporation
1,724,216
8,955
Redfin
Corporation
h
596,313
115,191
Rexford
Industrial
Realty,
Inc.
5,805,626
1,631
RMR
Group,
Inc.
66,561
59,494
Sabra
Health
Care
REIT,
Inc.
1,032,816
10,230
SBA
Communications
Corporation
2,839,337
195,516
Service
Properties
Trust
2,318,820
9,851
SL
Green
Realty
Corporation
689,471
26,076
Spirit
Realty
Capital,
Inc.
1,108,230
31,180
STAG
Industrial,
Inc.
1,047,960
32,583
Store
Capital
Corporation
1,091,531
257,106
Sunstone
Hotel
Investors,
Inc.
h
3,203,541
39,951
UDR,
Inc.
1,752,251
8,489
UMH
Properties,
Inc.
162,734
151
Universal
Health
Realty
Income
Trust
10,235
5,011
WP
Carey,
Inc.
354,578
Total
113,580,975
Utilities
(0.3%)
21,574
AES
Corporation
578,399
5,784
ALLETE,
Inc.
388,627
6,183
Alliant
Energy
Corporation
334,871
19,958
American
Electric
Power
Company,
Inc.
1,690,443
4,376
American
States
Water
Company
330,913
91
American
Water
Works
Company,
Inc.
13,643
13,533
Artesian
Resources
Corporation
532,930
15,836
Black
Hills
Corporation
1,057,370
10,454
CenterPoint
Energy,
Inc.
236,783
1,269
Chesapeake
Utilities
Corporation
147,306
11,968
Consolidated
Water
Company,
Ltd.
160,970
4,249
DTE
Energy
Company
565,712
6,063
Duke
Energy
Corporation
585,261
7,367
Entergy
Corporation
732,795
3,038
Essential
Utilities,
Inc.
135,950
9,296
Evergy,
Inc.
553,391
8,652
Exelon
Corporation
378,438
98,075
FirstEnergy
Corporation
3,402,222
5,038
Hawaiian
Electric
Industries,
Inc.
223,838
4,031
IDACORP,
Inc.
402,979
6,866
MDU
Resources
Group,
Inc.
217,034
3,160
National
Fuel
Gas
Company
157,968
Shares
Common
Stock
(32.0%)
Value
Utilities
(0.3%)
-
continued
5,476
New
Jersey
Resources
Corporation
$
218,328
1,002
NiSource,
Inc.
24,158
2,901
Northwest
Natural
Holding
Company
156,509
25,134
NorthWestern
Corporation
1,638,737
47,136
OGE
Energy
Corporation
1,525,321
6,972
Otter
Tail
Corporation
321,897
2,322
Pinnacle
West
Capital
Corporation
188,895
43,465
Portland
General
Electric
Company
2,063,284
1,696
PPL
Corporation
48,913
7,487
Sempra
Energy
992,626
5,208
Southwest
Gas
Holdings,
Inc.
357,842
33,300
Spire,
Inc.
2,460,537
26,117
UGI
Corporation
1,071,058
5,622
Unitil
Corporation
256,869
9,212
WEC
Energy
Group,
Inc.
862,151
Total
25,014,968
Total
Common
Stock
(cost
$1,496,052,239)
2,332,895,443
Principal
Amount
Long-Term
Fixed
Income
(
13.9%
)
Value
Asset-Backed
Securities
(0.8%)
522
Funding
CLO,
Ltd.
$
1,100,000
1.824%, 
(LIBOR
3M
+
1.600%),
4/20/2030,
Ser.
2019-4A,
Class
BR
b,i
1,100,001
Access
Group,
Inc.
143,243
0.609%, 
(LIBOR
1M
+
0.500%),
2/25/2036,
Ser.
2013-1,
Class
A
b,i
141,861
Aimco
CLO
10,
Ltd.
1,000,000
1.542%, 
(LIBOR
3M
+
1.320%),
7/22/2032,
Ser.
2019-10A,
Class
A
b,i
1,000,560
Aimco
CLO
11,
Ltd.
1,625,000
1.605%, 
(LIBOR
3M
+
1.380%),
10/15/2031,
Ser.
2020-11A,
Class
A1
b,i
1,627,928
Ares
CLO,
Ltd.
1,500,000
1.623%, 
(LIBOR
3M
+
1.400%),
10/17/2030,
Ser.
2018-28RA,
Class
A2
b,i
1,500,130
Ares
XXXIIR
CLO,
Ltd.
750,000
1.134%, 
(LIBOR
3M
+
0.940%),
5/15/2030,
Ser.
2014-32RA,
Class
A1A
b,i
750,008
1,250,000
2.194%, 
(LIBOR
3M
+
2.000%),
5/15/2030,
Ser.
2014-32RA,
Class
A2BR
b,i
1,250,725
Buttermilk
Park
CLO,
Ltd.
2,575,000
1.641%, 
(LIBOR
3M
+
1.400%),
10/15/2031,
Ser.
2018-1A,
Class
A2
b,i
2,575,175
Carlyle
Global
Market
Strategies
CLO,
Ltd.
1,675,000
1.691%, 
(LIBOR
3M
+
1.450%),
7/15/2031,
Ser.
2014-5A,
Class
A2RR
b,i
1,675,079
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
240
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Asset-Backed
Securities
(0.8%)
-
continued
CarVal
CLO
II,
Ltd.
$
1,000,000
1.694%, 
(LIBOR
3M
+
1.500%),
4/20/2032,
Ser.
2019-1A,
Class
BR
b,i
$
999,959
600,000
2.194%, 
(LIBOR
3M
+
2.000%),
4/20/2032,
Ser.
2019-1A,
Class
CR
b,i
598,501
CBAM,
Ltd.
1,600,000
1.521%, 
(LIBOR
3M
+
1.280%),
2/12/2030,
Ser.
2019-9A,
Class
A
b,i
1,600,062
Cent
CLO,
LP
350,000
2.518%, 
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
b,i
350,053
CIFC
Funding,
Ltd.
600,000
1.805%, 
(LIBOR
3M
+
1.600%),
10/20/2031,
Ser.
2020-3A,
Class
A2
b,i
601,477
Colony
American
Finance
Trust
1,679,011
2.835%, 
6/15/2052,
Ser.
2019-2,
Class
A
i
1,766,065
Commonbond
Student
Loan
Trust
239,705
0.609%, 
(LIBOR
1M
+
0.500%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,i
238,076
CoreVest
American
Finance
Trust
1,721,222
2.705%, 
10/15/2052,
Ser.
2019-3,
Class
A
i
1,793,084
Dryden
36
Senior
Loan
Fund
850,000
2.291%, 
(LIBOR
3M
+
2.050%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,i
850,060
Dryden
Senior
Loan
Fund
1,450,000
1.623%, 
(LIBOR
3M
+
1.400%),
7/18/2030,
Ser.
2018-65A,
Class
A2
b,i
1,450,133
Earnest
Student
Loan
Program,
LLC
277,679
3.020%, 
5/25/2034,
Ser.
2016-B,
Class
A2
i
278,017
ECMC
Group
Student
Loan
Trust
1,123,412
1.259%, 
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
b,i
1,134,883
Flatiron
CLO,
Ltd.
600,000
1.998%, 
(LIBOR
3M
+
1.750%),
11/20/2033,
Ser.
2020-1A,
Class
B
b,i
603,337
Galaxy
XIX
CLO,
Ltd.
800,000
2.033%, 
(LIBOR
3M
+
1.850%),
7/24/2030,
Ser.
2015-19A,
Class
BRR
b,i
800,082
Galaxy
XX
CLO,
Ltd.
1,200,000
1.224%, 
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-20A,
Class
AR
b,i
1,198,436
Golub
Capital
Partners,
Ltd.
750,000
1.404%, 
(LIBOR
3M
+
1.180%),
1/20/2031,
Ser.
2015-22A,
Class
AR
b,i
748,279
1,095,000
1.424%, 
(LIBOR
3M
+
1.200%),
1/20/2031,
Ser.
2015-23A,
Class
AR
b,i
1,092,830
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Asset-Backed
Securities
(0.8%)
-
continued
Goodgreen
$
1,105,716
3.860%, 
10/15/2054,
Ser.
2019-1A,
Class
A
i
$
1,160,460
Home
Partners
of
America
Trust
1,877,843
2.908%, 
9/17/2039,
Ser.
2019-1,
Class
A
i
1,900,926
1,833,688
2.703%, 
10/19/2039,
Ser.
2019-2,
Class
A
i
1,854,482
Laurel
Road
Prime
Student
Loan
Trust
276,097
2.810%, 
11/25/2042,
Ser.
2017-C,
Class
A2B
i
280,480
553,381
5.600%, 
11/25/2043,
Ser.
2018-D,
Class
A
b,i
573,619
Madison
Park
Funding
XIV,
Ltd.
1,200,000
1.622%, 
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,i
1,200,054
Madison
Park
Funding,
Ltd.
1,000,000
2.300%, 
(LIBOR
3M
+
2.100%),
1/20/2029,
Ser.
2012-10A,
Class
CR3
b,i
1,000,087
Magnetite
XII,
Ltd.
1,200,000
1.341%, 
(LIBOR
3M
+
1.100%),
10/15/2031,
Ser.
2015-12A,
Class
ARR
b,i
1,200,067
Mercury
Financial
Credit
Card
Master
Trust
850,000
1.540%, 
3/20/2026,
Ser.
2021-1A,
Class
A
i
850,129
Mountain
View
CLO,
Ltd.
850,000
1.361%, 
(LIBOR
3M
+
1.120%),
7/15/2031,
Ser.
2015-9A,
Class
A1R
b,i
848,513
MRA
Issuance
Trust
2,100,000
1.456%, 
(LIBOR
1M
+
1.350%),
7/15/2021,
Ser.
2020-12,
Class
A1X
b,i
2,100,381
National
Collegiate
Trust
494,130
0.404%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,i
485,216
Neuberger
Berman
CLO,
Ltd.
500,000
1.252%, 
(LIBOR
3M
+
1.030%),
4/22/2029,
Ser.
2014-17A,
Class
AR2
b,i
500,106
Octagon
Investment
Partners
32,
Ltd.
1,225,000
2.235%, 
(LIBOR
3M
+
2.050%),
7/15/2029,
Ser.
2017-1A,
Class
CR
b,d,i
1,225,000
525,000
2.491%, 
(LIBOR
3M
+
2.250%),
7/15/2029,
Ser.
2017-1A,
Class
C
b,i
525,056
Octagon
Investment
Partners
XVI,
Ltd.
250,000
1.623%, 
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2013-1A,
Class
A2R
b,i
250,020
OZLM
IX,
Ltd.
600,000
1.774%, 
(LIBOR
3M
+
1.550%),
10/20/2031,
Ser.
2014-9A,
Class
A1BR
b,i
600,111
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
241
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Asset-Backed
Securities
(0.8%)
-
continued
OZLM
VIII,
Ltd.
$
381,993
1.393%, 
(LIBOR
3M
+
1.170%),
10/17/2029,
Ser.
2014-8A,
Class
A1RR
b,i
$
382,021
Palmer
Square
CLO,
Ltd.
1,000,000
2.241%, 
(LIBOR
3M
+
2.000%),
5/21/2029,
Ser.
2015-1A,
Class
BR3
b,i
997,398
Palmer
Square
Loan
Funding,
Ltd.
1,004,155
1.074%, 
(LIBOR
3M
+
0.850%),
1/20/2027,
Ser.
2018-5A,
Class
A1
b,i
1,004,231
850,000
1.874%, 
(LIBOR
3M
+
1.650%),
4/20/2027,
Ser.
2019-1A,
Class
A2
b,i
850,115
Pretium
Mortgage
Credit
Partners,
LLC
931,713
3.721%, 
2/27/2060,
Ser.
2020-NPL2,
Class
A1
i,j
939,802
Progress
Residential
Trust
1,998,027
3.422%, 
8/17/2035,
Ser.
2019-SFR1,
Class
A
i
2,042,260
Saxon
Asset
Securities
Trust
430,017
3.672%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
415,358
Shackleton
CLO,
Ltd.
800,000
1.411%, 
(LIBOR
3M
+
1.170%),
7/15/2031,
Ser.
2015-7RA,
Class
A1
b,i
800,011
Sound
Point
CLO
XIV,
Ltd.
1,250,000
2.221%, 
(LIBOR
3M
+
2.050%),
1/23/2029,
Ser.
2016-3A,
Class
CR
b,i
1,245,764
Sound
Point
CLO
XV,
Ltd.
1,225,000
2.235%, 
(LIBOR
3M
+
2.050%),
1/23/2029,
Ser.
2017-1A,
Class
CR
b,d,i
1,225,000
Sound
Point
CLO
XXI,
Ltd.
725,000
1.665%, 
(LIBOR
3M
+
1.450%),
10/26/2031,
Ser.
2018-3A,
Class
A1B
b,i
725,065
THL
Credit
Wind
River
CLO,
Ltd.
500,000
1.654%, 
(LIBOR
3M
+
1.430%),
10/20/2033,
Ser.
2020-1A,
Class
A
b,i
502,180
U.S.
Small
Business
Administration
70,077
3.191%, 
3/10/2024,
Ser.
2014-10A,
Class
1
72,124
Upstart
Securitization
Trust
682,863
1.702%, 
11/20/2030,
Ser.
2020-3,
Class
A
i
688,258
VCAT
Asset
Securitization,
LLC
500,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
i,j
498,966
Vericrest
Opportunity
Loan
Trust
1,225,000
4.336%, 
2/25/2050,
Ser.
2020-NPL2,
Class
A2
i,j
1,217,130
Voya
CLO,
Ltd.
748,830
1.441%, 
(LIBOR
3M
+
1.200%),
10/15/2030,
Ser.
2012-4A,
Class
A1AR
b,i
748,841
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Asset-Backed
Securities
(0.8%)
-
continued
Whitebox
CLO
II,
Ltd.
$
650,000
2.492%, 
(LIBOR
3M
+
2.250%),
10/24/2031,
Ser.
2020-2A,
Class
B
b,i
$
651,365
Total
59,285,397
Basic
Materials
(0.2%)
Air
Products
and
Chemicals,
Inc.
650,000
2.700%, 
5/15/2040
621,730
Alcoa
Nederland
Holding
BV
300,000
5.500%, 
12/15/2027
i
322,920
Anglo
American
Capital
plc
470,000
4.875%, 
5/14/2025
i
530,829
BWAY
Holding
Company
270,000
5.500%, 
4/15/2024
i
273,713
Chemours
Company
150,000
5.750%, 
11/15/2028
i
157,937
Cleveland-Cliffs,
Inc.
190,000
5.875%, 
6/1/2027
196,650
120,000
4.625%, 
3/1/2029
i
119,796
120,000
4.875%, 
3/1/2031
i
119,700
Consolidated
Energy
Finance
SA
220,000
6.875%, 
6/15/2025
i
224,125
DowDuPont,
Inc.
340,000
4.493%, 
11/15/2025
384,252
First
Quantum
Minerals,
Ltd.
410,000
7.500%, 
4/1/2025
i
423,325
Freeport-McMoRan,
Inc.
280,000
4.125%, 
3/1/2028
294,336
310,000
4.250%, 
3/1/2030
330,150
Glencore
Funding,
LLC
64,000
4.125%, 
5/30/2023
i
68,440
479,000
4.000%, 
3/27/2027
i
527,891
Hecla
Mining
Company
90,000
7.250%, 
2/15/2028
96,525
Hudbay
Minerals,
Inc.
220,000
4.500%, 
4/1/2026
i
228,648
Ingevity
Corporation
330,000
3.875%, 
11/1/2028
i
320,100
International
Paper
Company
600,000
4.350%, 
8/15/2048
693,472
Kinross
Gold
Corporation
7,000
5.125%, 
9/1/2021
7,051
218,000
5.950%, 
3/15/2024
245,203
345,000
4.500%, 
7/15/2027
388,584
Kraton
Polymers,
LLC
290,000
4.250%, 
12/15/2025
i
291,088
Mercer
International,
Inc.
210,000
5.125%, 
2/1/2029
i
217,560
Norbord,
Inc.
250,000
5.750%, 
7/15/2027
i
266,450
Novelis
Corporation
195,000
5.875%, 
9/30/2026
i
203,531
130,000
4.750%, 
1/30/2030
i
133,991
OCI
NV
320,000
4.625%, 
10/15/2025
i
330,800
Olin
Corporation
405,000
5.125%, 
9/15/2027
419,175
Sherwin-Williams
Company
540,000
3.125%, 
6/1/2024
575,227
Steel
Dynamics,
Inc.
675,000
1.650%, 
10/15/2027
660,878
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
242
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Basic
Materials
(0.2%)
-
continued
Syngenta
Finance
NV
$
525,000
3.933%, 
4/23/2021
i
$
525,970
Teck
Resources,
Ltd.
839,000
6.125%, 
10/1/2035
1,028,547
Tronox
Finance
plc
170,000
5.750%, 
10/1/2025
i
177,332
United
States
Steel
Corporation
340,000
6.875%, 
3/1/2029
347,650
Vale
Overseas,
Ltd.
340,000
6.250%, 
8/10/2026
404,430
168,000
6.875%, 
11/21/2036
223,283
Venator
Finance
SARL
220,000
5.750%, 
7/15/2025
i
213,400
WestRock
Company
470,000
3.750%, 
3/15/2025
512,879
Xstrata
Finance
Canada,
Ltd.
10,000
4.950%, 
11/15/2021
i
10,279
Total
13,117,847
Capital
Goods
(0.3%)
AECOM
370,000
5.125%, 
3/15/2027
402,606
Amsted
Industries,
Inc.
245,000
5.625%, 
7/1/2027
i
260,006
Ardagh
Packaging
Finance
plc
210,000
6.000%, 
2/15/2025
i
216,405
300,000
5.250%, 
8/15/2027
i
306,024
BAE
Systems
plc
800,000
1.900%, 
2/15/2031
i
750,680
Boeing
Company
255,000
5.930%, 
5/1/2060
327,197
395,000
5.040%, 
5/1/2027
450,327
313,000
5.150%, 
5/1/2030
360,496
650,000
5.705%, 
5/1/2040
795,422
Bombardier,
Inc.
220,000
7.500%, 
3/15/2025
i
216,425
220,000
7.875%, 
4/15/2027
i
215,752
Brand
Industrial
Services,
Inc.
105,000
8.500%, 
7/15/2025
i
105,819
BWAY
Holding
Company
230,000
7.250%, 
4/15/2025
i
230,000
Carrier
Global
Corporation
384,000
3.577%, 
4/5/2050
377,087
500,000
2.700%, 
2/15/2031
499,850
Cintas
Corporation
No.
2
10,000
2.900%, 
4/1/2022
10,231
345,000
3.700%, 
4/1/2027
383,102
CNH
Industrial
Capital,
LLC
52,000
4.875%, 
4/1/2021
52,000
CNH
Industrial
NV
300,000
3.850%, 
11/15/2027
331,745
Cornerstone
Building
Brands,
Inc.
310,000
6.125%, 
1/15/2029
i
330,150
Covanta
Holding
Corporation
210,000
6.000%, 
1/1/2027
219,187
80,000
5.000%, 
9/1/2030
80,800
CP
Atlas
Buyer,
Inc.
200,000
7.000%, 
12/1/2028
i
210,210
Crown
Americas
Capital
Corporation
IV
380,000
4.500%, 
1/15/2023
399,712
Emerson
Electric
Company
650,000
1.800%, 
10/15/2027
652,539
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Capital
Goods
(0.3%)
-
continued
GFL
Environmental,
Inc.
$
80,000
4.000%, 
8/1/2028
i
$
77,400
220,000
3.500%, 
9/1/2028
i
213,400
H&E
Equipment
Services,
Inc.
250,000
3.875%, 
12/15/2028
i
243,125
Howmet
Aerospace,
Inc.
280,000
6.875%, 
5/1/2025
324,450
Ingersoll-Rand
Luxembourg
Finance
SA
300,000
3.500%, 
3/21/2026
325,642
Jeld-Wen,
Inc.
280,000
4.625%, 
12/15/2025
i
283,500
L3Harris
Technologies,
Inc.
705,000
3.950%, 
5/28/2024
765,093
Lockheed
Martin
Corporation
448,000
4.500%, 
5/15/2036
540,612
120,000
6.150%, 
9/1/2036
167,204
Meritor,
Inc.
150,000
4.500%, 
12/15/2028
i
150,450
NESCO
Holdings
II,
Inc.
70,000
5.500%, 
4/15/2029
d,i
71,806
Northrop
Grumman
Corporation
820,000
3.850%, 
4/15/2045
882,391
Owens-Brockway
Glass
Container,
Inc.
200,000
5.875%, 
8/15/2023
i
214,250
Raytheon
Technologies
Corporation
384,000
4.125%, 
11/16/2028
432,435
Republic
Services,
Inc.
335,000
2.900%, 
7/1/2026
357,254
Roper
Technologies,
Inc.
240,000
4.200%, 
9/15/2028
270,401
400,000
1.750%, 
2/15/2031
371,437
SRM
Escrow
Issuer,
LLC
280,000
6.000%, 
11/1/2028
i
293,440
Standard
Industries,
Inc.
410,000
4.375%, 
7/15/2030
i
413,690
Textron,
Inc.
720,000
3.375%, 
3/1/2028
756,781
Titan
Acquisition,
Ltd.
95,000
7.750%, 
4/15/2026
i
98,676
TransDigm,
Inc.
210,000
6.250%, 
3/15/2026
i
222,642
600,000
5.500%, 
11/15/2027
621,078
60,000
4.625%, 
1/15/2029
i
59,163
United
Rentals
North
America,
Inc.
300,000
4.875%, 
1/15/2028
316,011
185,000
4.000%, 
7/15/2030
188,284
United
Technologies
Corporation
375,000
4.450%, 
11/16/2038
434,465
600,000
3.750%, 
11/1/2046
639,504
Waste
Pro
USA,
Inc.
110,000
5.500%, 
2/15/2026
i
112,613
WESCO
Distribution,
Inc.
230,000
7.250%, 
6/15/2028
i
256,771
Total
18,287,740
Collateralized
Mortgage
Obligations
(0.6%)
Banc
of
America
Alternative
Loan
Trust
20,020
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
19,831
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
243
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Collateralized
Mortgage
Obligations
(0.6%)
-
continued
Bellemeade
Re,
Ltd.
$
224,019
1.709%, 
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,i
$
224,089
314,001
1.209%, 
(LIBOR
1M
+
1.100%),
7/25/2029,
Ser.
2019-3A,
Class
M1A
b,i
314,129
1,000,000
1.767%, 
(SOFR30A
+
1.750%),
3/25/2031,
Ser.
2021-1A,
Class
M1A
b,i
999,735
BRAVO
Residential
Funding
Trust
183,981
3.500%, 
3/25/2058,
Ser.
2019-1,
Class
A1C
i
189,116
Business
Jet
Securities,
LLC
1,012,692
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
i
1,025,128
Citicorp
Mortgage
Securities,
Inc.
877,721
6.000%, 
7/25/2037,
Ser.
2007-6,
Class
1A4
873,934
Citigroup
Mortgage
Loan
Trust,
Inc.
4,416
3.315%, 
3/25/2037,
Ser.
2007-AR4,
Class
2A1A
b
3,934
Countrywide
Alternative
Loan
Trust
200,346
2.746%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
b
192,191
259,872
6.500%, 
8/25/2036,
Ser.
2006-23CB,
Class
2A3
135,948
655,567
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
345,931
Countrywide
Home
Loans,
Inc.
198,555
5.750%, 
4/25/2037,
Ser.
2007-3,
Class
A27
144,191
Credit
Suisse
First
Boston
Mortgage
Securities
Corporation
15,726
5.250%, 
10/25/2035,
Ser.
2005-9,
Class
1A3
15,573
Credit
Suisse
Mortgage
Trust
430,139
3.453%, 
3/25/2026,
Ser.
2020-BPL2,
Class
A1
i
429,552
1,189,327
3.850%, 
9/25/2057,
Ser.
2018-RPL9,
Class
A1
b,i
1,261,168
2,803,311
3.471%, 
2/25/2060,
Ser.
2020-RPL2,
Class
A12
b,i
2,836,001
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
72,135
6.000%, 
10/25/2021,
Ser.
2006-AR5,
Class
23A
63,287
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
12,203,348
2.000%, 
11/25/2050,
Ser.
5038,
Class
NI
k
1,560,314
492,653
4.000%, 
7/15/2031,
Ser.
4104,
Class
KI
k
25,785
583,273
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
k
60,453
1,196,117
3.000%, 
3/15/2033,
Ser.
4180,
Class
PI
k
138,281
Federal
National
Mortgage
Association
16,560,406
1.500%, 
11/25/2035,
Ser.
2020-99,
Class
IG
k
927,194
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Collateralized
Mortgage
Obligations
(0.6%)
-
continued
Federal
National
Mortgage
Association
-
REMIC
$
1,858,501
3.000%, 
12/25/2027,
Ser.
2012-137,
Class
AI
k
$
106,362
Foundation
Finance
Trust
1,050,000
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
i
1,043,894
FWD
Securitization
Trust
947,662
2.810%, 
6/25/2049,
Ser.
2019-INV1,
Class
A1
b,i
981,065
Galton
Funding
Mortgage
Trust
2017-1
291,297
4.500%, 
10/25/2058,
Ser.
2018-2,
Class
A41
b,i
294,429
GS
Mortgage-Backed
Securities
Trust
970,272
2.625%, 
1/25/2059,
Ser.
2019-SL1,
Class
A1
b,i
985,276
J.P.
Morgan
Alternative
Loan
Trust
74,834
6.500%, 
3/25/2036,
Ser.
2006-S1,
Class
1A19
60,021
LHOME
Mortgage
Trust
1,000,000
2.090%, 
9/25/2026,
Ser.
2021-RTL1,
Class
A1
b,i
999,356
MASTR
Alternative
Loans
Trust
416,425
0.559%, 
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
b
61,304
Merrill
Lynch
Alternative
Note
Asset
Trust
175,032
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
108,917
MRA
Issuance
Trust
750,000
1.853%, 
(LIBOR
1M
+
1.750%),
10/8/2021,
Ser.
2021-EBO1,
Class
A1X
b,e,i
750,000
2,100,000
1.259%, 
(LIBOR
1M
+
1.150%),
10/15/2021,
Ser.
2021-8,
Class
A1X
b,e,i
2,100,000
New
York
Mortgage
Trust
1,037,414
2.944%, 
10/25/2060,
Ser.
2020-SP2,
Class
A1
b,i
1,041,409
Preston
Ridge
Partners
Mortgage
Trust,
LLC
971,553
3.500%, 
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,i
979,601
722,083
2.857%, 
9/25/2025,
Ser.
2020-3,
Class
A1
i,j
727,240
1,092,976
2.115%, 
1/25/2026,
Ser.
2021-1,
Class
A1
b,i
1,092,853
Pretium
Mortgage
Credit
Partners,
LLC
700,000
2.240%, 
9/27/2060,
Ser.
2021-NPL1,
Class
A1
e,i,j
700,000
RCO
Mortgage,
LLC
1,588,905
3.475%, 
11/25/2024,
Ser.
2019-2,
Class
A1
i,j
1,597,858
Renaissance
Home
Equity
Loan
Trust
1,108,671
5.580%, 
11/25/2036,
Ser.
2006-3,
Class
AF2
j
587,865
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
244
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Collateralized
Mortgage
Obligations
(0.6%)
-
continued
Residential
Accredit
Loans,
Inc.
Trust
$
376,771
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
$
368,387
26,718
5.750%, 
9/25/2035,
Ser.
2005-QS13,
Class
2A3
26,585
Residential
Funding
Mortgage
Security
I
Trust
85,415
6.000%, 
7/25/2037,
Ser.
2007-S7,
Class
A20
81,940
Sequoia
Mortgage
Trust
257,197
3.114%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
b
200,175
Silver
Hill
Trust
502,845
3.102%, 
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,i
520,342
Starwood
Mortgage
Residential
Trust
313,615
2.718%, 
4/25/2060,
Ser.
2020-2,
Class
A1
b,i
318,976
Structured
Adjustable
Rate
Mortgage
Loan
Trust
33,698
3.212%, 
9/25/2035,
Ser.
2005-18,
Class
1A1
b
27,438
Structured
Asset
Mortgage
Investments,
Inc.
47,613
0.729%, 
(LIBOR
1M
+
0.620%),
12/25/2035,
Ser.
2005-AR4,
Class
A1
b
45,871
Toorak
Mortgage
Corporation
1,050,000
4.458%, 
3/25/2022,
Ser.
2019-1,
Class
A1
i,j
1,061,405
4,000,000
3.721%, 
9/25/2022,
Ser.
2019-2,
Class
A1
4,056,833
750,000
2.734%, 
3/25/2023,
Ser.
2020-1,
Class
A1
i,j
751,731
Vericrest
Opportunity
Loan
Transferee
845,034
1.893%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A1
i,j
840,580
571,406
2.240%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A1
i,j
570,964
850,000
4.826%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A2
i,j
844,523
600,000
4.949%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A2
i,j
597,625
972,028
2.116%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A1
i,j
970,959
650,000
4.826%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A2
i,j
648,456
650,000
4.949%, 
3/27/2051,
Ser.
2021-NPL4,
Class
A2
i,j
648,343
675,000
4.949%, 
4/25/2051,
Ser.
2021-NPL7,
Class
A2
e,i,j
675,000
Verus
Securitization
Trust
338,936
3.345%, 
5/25/2059,
Ser.
2019-2,
Class
A2
b,i
339,645
959,808
2.913%, 
7/25/2059,
Ser.
2019-INV2,
Class
A1
b,i
977,993
758,444
2.947%, 
11/25/2059,
Ser.
2019-INV3,
Class
A2
b,i
772,299
567,343
1.977%, 
3/25/2060,
Ser.
2020-INV1,
Class
A1
b,i
575,762
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Collateralized
Mortgage
Obligations
(0.6%)
-
continued
$
1,787,828
3.626%, 
4/25/2060,
Ser.
2020-3,
Class
A1
b,i
$
1,820,640
WaMu
Mortgage
Pass
Through
Certificates
75,713
3.017%, 
9/25/2036,
Ser.
2006-AR10,
Class
1A2
b
73,749
177,898
3.035%, 
10/25/2036,
Ser.
2006-AR12,
Class
1A1
b
178,333
Total
43,997,769
Commercial
Mortgage-Backed
Securities
(0.1%)
BBCMS
Mortgage
Trust
6,989,169
1.852%, 
10/15/2053,
Ser.
2020-C8,
Class
XA
b,k
946,305
BFLD
Trust
1,100,000
1.256%, 
(LIBOR
1M
+
1.150%),
10/15/2035,
Ser.
2020-EYP,
Class
A
b,i
1,109,688
400,000
1.806%, 
(LIBOR
1M
+
1.700%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,i
404,001
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
564,867
3.000%, 
3/15/2045,
Ser.
4741,
Class
GA
584,309
GS
Mortgage
Securities
Trust
2,450,000
3.666%, 
9/10/2047,
Ser.
2014-GC24,
Class
A4
2,609,720
Morgan
Stanley
Capital
I
Trust
7,188,544
1.973%, 
7/15/2053,
Ser.
2020-HR8,
Class
XA
b,k
980,993
Total
6,635,016
Communications
Services
(0.5%)
AMC
Networks,
Inc.
260,000
4.250%, 
2/15/2029
252,850
American
Tower
Corporation
525,000
2.900%, 
1/15/2030
533,689
625,000
2.100%, 
6/15/2030
594,746
AT&T,
Inc.
451,000
3.500%, 
9/15/2053
i
416,785
600,000
2.300%, 
6/1/2027
613,205
750,000
4.350%, 
3/1/2029
848,384
480,000
5.250%, 
3/1/2037
579,109
700,000
4.900%, 
8/15/2037
828,514
355,000
5.550%, 
8/15/2041
441,924
CCO
Holdings,
LLC
600,000
5.500%, 
5/1/2026
i
618,780
380,000
5.125%, 
5/1/2027
i
401,780
350,000
4.750%, 
3/1/2030
i
362,687
CCOH
Safari,
LLC
21,000
5.750%, 
2/15/2026
i
21,667
Cengage
Learning,
Inc.
310,000
9.500%, 
6/15/2024
i
315,812
Charter
Communications
Operating,
LLC
217,000
6.834%, 
10/23/2055
296,840
300,000
4.500%, 
2/1/2024
328,122
495,000
4.200%, 
3/15/2028
545,632
650,000
3.500%, 
6/1/2041
616,449
610,000
6.484%, 
10/23/2045
794,227
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
245
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Communications
Services
(0.5%)
-
continued
Clear
Channel
Worldwide
Holdings,
Inc.
$
270,000
7.750%, 
4/15/2028
i
$
267,030
Comcast
Corporation
370,000
4.049%, 
11/1/2052
418,104
420,000
3.950%, 
10/15/2025
469,199
725,000
4.250%, 
10/15/2030
833,047
485,000
4.400%, 
8/15/2035
567,189
490,000
4.750%, 
3/1/2044
602,229
250,000
4.600%, 
8/15/2045
302,245
Consolidated
Communications,
Inc.
130,000
5.000%, 
10/1/2028
i
131,014
Cox
Communications,
Inc.
475,000
3.350%, 
9/15/2026
i
512,505
Crown
Castle
International
Corporation
480,000
3.200%, 
9/1/2024
515,456
CSC
Holdings,
LLC
220,000
5.500%, 
5/15/2026
i
226,820
190,000
5.375%, 
2/1/2028
i
199,737
160,000
4.125%, 
12/1/2030
i
158,925
Cumulus
Media
New
Holdings,
Inc.
200,000
6.750%, 
7/1/2026
i
203,750
Discovery
Communications,
LLC
600,000
4.900%, 
3/11/2026
683,718
DISH
DBS
Corporation
190,000
7.375%, 
7/1/2028
199,319
Embarq
Corporation
155,000
7.995%, 
6/1/2036
178,593
Entercom
Media
Corporation
200,000
6.500%, 
5/1/2027
g,i
206,750
Fox
Corporation
400,000
3.500%, 
4/8/2030
425,559
Front
Range
BidCo,
Inc.
270,000
4.000%, 
3/1/2027
i
265,275
200,000
6.125%, 
3/1/2028
i
205,250
Frontier
Communications
Corporation
180,000
5.875%, 
10/15/2027
i
190,800
70,000
6.750%, 
5/1/2029
i
73,829
GCI,
LLC
220,000
4.750%, 
10/15/2028
i
225,225
Hughes
Satellite
Systems
Corporation
120,000
6.625%, 
8/1/2026
132,972
iHeartCommunications,
Inc.
220,000
4.750%, 
1/15/2028
i
221,650
LCPR
Senior
Secured
Financing
DAC
190,000
6.750%, 
10/15/2027
i
202,568
Level
3
Financing,
Inc.
390,000
4.625%, 
9/15/2027
i
401,376
420,000
4.250%, 
7/1/2028
i
424,750
Ligado
Networks,
LLC
110,000
0.000%,PIK
15.500%,
11/1/2023
e,f,i
103,067
Meredith
Corporation
310,000
6.500%, 
7/1/2025
i
332,593
Netflix,
Inc.
560,000
4.875%, 
4/15/2028
633,500
Nexstar
Escrow
Corporation
320,000
5.625%, 
7/15/2027
i
335,398
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Communications
Services
(0.5%)
-
continued
Nielsen
Finance,
LLC
$
100,000
5.625%, 
10/1/2028
i
$
105,125
Omnicom
Group,
Inc.
224,000
3.600%, 
4/15/2026
245,466
200,000
4.200%, 
6/1/2030
225,071
Radiate
Holdco,
LLC
120,000
6.500%, 
9/15/2028
i
126,714
Scripps
Escrow
II,
Inc.
150,000
3.875%, 
1/15/2029
i
147,375
120,000
5.375%, 
1/15/2031
i
119,100
SFR
Group
SA
540,000
7.375%, 
5/1/2026
i
561,654
Sinclair
Television
Group,
Inc.
320,000
5.500%, 
3/1/2030
i
311,200
Sirius
XM
Radio,
Inc.
345,000
5.000%, 
8/1/2027
i
361,922
Sprint
Capital
Corporation
320,000
6.875%, 
11/15/2028
403,510
235,000
8.750%, 
3/15/2032
347,506
Sprint
Corporation
695,000
7.625%, 
2/15/2025
828,787
Telefonica
Emisiones
SAU
250,000
4.570%, 
4/27/2023
269,473
Terrier
Media
Buyer,
Inc.
160,000
8.875%, 
12/15/2027
i
172,168
Time
Warner
Entertainment
Company,
LP
200,000
8.375%, 
3/15/2023
229,275
T-Mobile
USA,
Inc.
650,000
3.750%, 
4/15/2027
i
710,554
140,000
2.875%, 
2/15/2031
135,310
525,000
4.375%, 
4/15/2040
i
583,307
United
States
Cellular
Corporation
190,000
6.700%, 
12/15/2033
230,126
Uniti
Group,
LP
110,000
6.500%, 
2/15/2029
i
108,625
Univision
Communications,
Inc.
410,000
6.625%, 
6/1/2027
i
437,849
Verizon
Communications,
Inc.
384,000
3.700%, 
3/22/2061
379,437
256,000
2.100%, 
3/22/2028
257,073
1,594,000
4.272%, 
1/15/2036
1,801,673
725,000
2.650%, 
11/20/2040
662,542
Viacom,
Inc.
336,000
5.850%, 
9/1/2043
429,142
ViaSat,
Inc.
310,000
5.625%, 
9/15/2025
i
315,103
Vodafone
Group
plc
300,000
4.875%, 
6/19/2049
356,456
VTR
Finance
NV
150,000
6.375%, 
7/15/2028
g,i
162,000
Walt
Disney
Company
550,000
2.200%, 
1/13/2028
562,008
775,000
2.650%, 
1/13/2031
791,070
675,000
3.500%, 
5/13/2040
713,739
Ziggo
BV
302,000
5.500%, 
1/15/2027
i
314,458
Total
33,665,462
Consumer
Cyclical
(0.4%)
1011778
B.C.,
ULC
330,000
4.375%, 
1/15/2028
i
331,558
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
246
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Consumer
Cyclical
(0.4%)
-
continued
Allied
Universal
Holdco,
LLC
$
240,000
6.625%, 
7/15/2026
i
$
254,515
Allison
Transmission,
Inc
315,000
3.750%, 
1/30/2031
i
305,156
Amazon.com,
Inc.
600,000
3.875%, 
8/22/2037
687,469
360,000
4.050%, 
8/22/2047
421,339
American
Axle
&
Manufacturing,
Inc.
360,000
6.500%, 
4/1/2027
g
373,500
American
Honda
Finance
Corporation
250,000
2.150%, 
9/10/2024
260,596
Brookfield
Residential
Properties,
Inc.
500,000
6.250%, 
9/15/2027
i
521,875
Caesars
Entertainment,
Inc.
70,000
8.125%, 
7/1/2027
i
77,192
Carnival
Corporation
240,000
11.500%, 
4/1/2023
i
275,100
160,000
10.500%, 
2/1/2026
i
188,200
80,000
7.625%, 
3/1/2026
i
85,944
250,000
5.750%, 
3/1/2027
i
256,562
Cedar
Fair,
LP
290,000
5.250%, 
7/15/2029
298,088
Cinemark
USA,
Inc.
260,000
5.875%, 
3/15/2026
i
266,224
Clarios
Global,
LP
110,000
8.500%, 
5/15/2027
i
118,387
Colt
Merger
Sub,
Inc.
500,000
6.250%, 
7/1/2025
i
533,007
CVS
Health
Corporation
600,000
3.625%, 
4/1/2027
658,542
D.R.
Horton,
Inc.
300,000
2.600%, 
10/15/2025
315,539
Dana,
Inc.
250,000
5.625%, 
6/15/2028
267,500
Empire
Communities
Corporation
230,000
7.000%, 
12/15/2025
i
242,362
Ford
Motor
Company
140,000
9.000%, 
4/22/2025
169,556
80,000
9.625%, 
4/22/2030
111,643
220,000
7.450%, 
7/16/2031
277,383
Ford
Motor
Credit
Company,
LLC
820,000
4.063%, 
11/1/2024
860,221
550,000
4.134%, 
8/4/2025
575,259
Gap,
Inc.
150,000
8.625%, 
5/15/2025
i
167,962
General
Motors
Company
650,000
6.125%, 
10/1/2025
764,340
600,000
6.800%, 
10/1/2027
744,338
General
Motors
Financial
Company,
Inc.
224,000
3.950%, 
4/13/2024
241,077
Hanesbrands,
Inc.
310,000
4.875%, 
5/15/2026
i
332,475
Herc
Holdings,
Inc.
210,000
5.500%, 
7/15/2027
i
223,482
Hilton
Domestic
Operating
Company,
Inc.
570,000
4.875%, 
1/15/2030
604,656
Home
Depot,
Inc.
275,000
5.400%, 
9/15/2040
364,317
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Consumer
Cyclical
(0.4%)
-
continued
$
336,000
4.250%, 
4/1/2046
$
395,407
440,000
3.900%, 
6/15/2047
494,512
Hyundai
Capital
America
400,000
1.250%, 
9/18/2023
i
402,893
475,000
1.800%, 
1/10/2028
i
454,206
International
Game
Technology
plc
260,000
5.250%, 
1/15/2029
i
271,180
KB
Home
270,000
4.800%, 
11/15/2029
282,825
Kohl's
Corporation
360,000
9.500%, 
5/15/2025
466,784
360,000
5.550%, 
7/17/2045
407,853
L
Brands,
Inc.
340,000
6.625%, 
10/1/2030
i
388,212
80,000
6.875%, 
11/1/2035
95,343
Landry's,
Inc.
275,000
6.750%, 
10/15/2024
i
278,072
Lennar
Corporation
340,000
4.875%, 
12/15/2023
371,392
625,000
4.750%, 
5/30/2025
696,094
Levi
Strauss
&
Company
320,000
3.500%, 
3/1/2031
i
308,800
Live
Nation
Entertainment,
Inc.
150,000
3.750%, 
1/15/2028
i
147,937
Marriott
International,
Inc.
375,000
5.750%, 
5/1/2025
430,310
Mastercard,
Inc.
700,000
3.950%, 
2/26/2048
792,003
Mattamy
Group
Corporation
320,000
5.250%, 
12/15/2027
i
334,800
McDonald's
Corporation
600,000
2.125%, 
3/1/2030
585,818
575,000
4.450%, 
3/1/2047
668,274
MGM
Resorts
International
515,000
6.000%, 
3/15/2023
551,694
20,000
5.750%, 
6/15/2025
21,800
Owl
Rock
Capital
Corporation
625,000
3.400%, 
7/15/2026
633,049
PetSmart,
Inc.
180,000
4.750%, 
2/15/2028
i
184,088
170,000
7.750%, 
2/15/2029
i
184,017
Prime
Security
Services
Borrower,
LLC
520,000
5.750%, 
4/15/2026
i
562,666
Real
Hero
Merger
Sub
2,
Inc.
160,000
6.250%, 
2/1/2029
i
165,200
Realogy
Group,
LLC
270,000
5.750%, 
1/15/2029
i
266,288
Rite
Aid
Corporation
110,000
7.500%, 
7/1/2025
i
114,263
Royal
Caribbean
Cruises,
Ltd.
320,000
9.125%, 
6/15/2023
i
352,618
120,000
11.500%, 
6/1/2025
i
139,950
115,000
5.500%, 
4/1/2028
i
115,575
Scientific
Games
International,
Inc.
380,000
5.000%, 
10/15/2025
i
393,566
260,000
7.250%, 
11/15/2029
i
282,100
SeaWorld
Parks
and
Entertainment,
Inc.
150,000
9.500%, 
8/1/2025
i
163,024
Six
Flags
Entertainment
Corporation
170,000
5.500%, 
4/15/2027
g,i
176,163
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
247
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Consumer
Cyclical
(0.4%)
-
continued
Six
Flags
Theme
Parks,
Inc.
$
150,000
7.000%, 
7/1/2025
i
$
162,188
Staples,
Inc.
420,000
7.500%, 
4/15/2026
i
442,995
Target
Corporation
575,000
2.250%, 
4/15/2025
602,436
Tenneco,
Inc.
150,000
5.000%, 
7/15/2026
g
141,375
TJX
Companies,
Inc.
300,000
3.750%, 
4/15/2027
334,035
400,000
3.875%, 
4/15/2030
445,371
Uber
Technologies,
Inc.
160,000
6.250%, 
1/15/2028
i
174,272
ViacomCBS,
Inc.
550,000
4.200%, 
5/19/2032
614,792
Visa,
Inc.
650,000
2.700%, 
4/15/2040
636,566
Vista
Outdoor,
Inc.
270,000
4.500%, 
3/15/2029
i
267,153
Walmart,
Inc.
600,000
3.250%, 
7/8/2029
656,387
Wyndham
Destinations,
Inc.
200,000
6.625%, 
7/31/2026
i
227,070
Wyndham
Hotels
&
Resorts,
Inc.
120,000
4.375%, 
8/15/2028
i
121,380
Yum!
Brands,
Inc.
270,000
4.750%, 
1/15/2030
i
285,471
ZF
North
America
Capital,
Inc.
150,000
4.750%, 
4/29/2025
i
161,030
Total
30,026,661
Consumer
Non-Cyclical
(0.5%)
Abbott
Laboratories
941,000
4.750%, 
11/30/2036
1,164,418
AbbVie,
Inc.
7,000
2.900%, 
11/6/2022
7,260
500,000
2.950%, 
11/21/2026
532,340
650,000
4.300%, 
5/14/2036
749,321
225,000
4.850%, 
6/15/2044
273,330
240,000
4.700%, 
5/14/2045
284,249
1,000,000
4.875%, 
11/14/2048
1,204,409
Albertson's
Companies,
Inc.
140,000
7.500%, 
3/15/2026
i
154,646
395,000
3.500%, 
3/15/2029
i
375,898
Altria
Group,
Inc.
512,000
5.800%, 
2/14/2039
624,783
Amgen,
Inc.
600,000
3.375%, 
2/21/2050
599,746
300,000
3.125%, 
5/1/2025
322,411
Anheuser-Busch
Companies,
LLC
896,000
4.700%, 
2/1/2036
1,049,636
Anheuser-Busch
InBev
Worldwide,
Inc.
900,000
4.750%, 
4/15/2058
1,037,372
575,000
4.375%, 
4/15/2038
653,566
50,000
4.600%, 
4/15/2048
57,239
Anthem,
Inc.
525,000
3.125%, 
5/15/2050
500,979
415,000
4.625%, 
5/15/2042
489,997
Aramark
Services,
Inc.
170,000
6.375%, 
5/1/2025
g,i
180,200
AstraZeneca
plc
480,000
1.375%, 
8/6/2030
440,267
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Consumer
Non-Cyclical
(0.5%)
-
continued
BAT
Capital
Corporation
$
930,000
4.540%, 
8/15/2047
$
936,406
Bausch
Health
Companies,
Inc.
100,000
5.000%, 
1/30/2028
i
101,250
350,000
5.000%, 
2/15/2029
i
347,594
Baxalta,
Inc.
246,000
4.000%, 
6/23/2025
272,676
Becton,
Dickinson
and
Company
350,000
3.794%, 
5/20/2050
371,856
375,000
3.700%, 
6/6/2027
413,632
Campbell
Soup
Company
200,000
2.375%, 
4/24/2030
195,612
Cargill,
Inc.
300,000
3.250%, 
5/23/2029
i
321,670
Centene
Corporation
165,000
4.625%, 
12/15/2029
178,580
390,000
3.000%, 
10/15/2030
389,353
100,000
2.500%, 
3/1/2031
95,502
Central
Garden
&
Pet
Company
280,000
4.125%, 
10/15/2030
282,800
Cigna
Corporation
590,000
4.800%, 
8/15/2038
705,166
Community
Health
Systems,
Inc.
110,000
5.625%, 
3/15/2027
i
115,225
150,000
6.000%, 
1/15/2029
i
158,625
280,000
6.875%, 
4/15/2029
i
293,124
Conagra
Brands,
Inc.
455,000
4.300%, 
5/1/2024
501,731
Constellation
Brands,
Inc.
470,000
3.600%, 
2/15/2028
511,131
250,000
2.875%, 
5/1/2030
255,444
CVS
Health
Corporation
7,000
2.750%, 
12/1/2022
7,229
1,440,000
4.875%, 
7/20/2035
1,694,445
DaVita,
Inc.
380,000
4.625%, 
6/1/2030
i
387,167
Edgewell
Personal
Care
Company
160,000
5.500%, 
6/1/2028
i
168,960
Encompass
Health
Corporation
440,000
4.500%, 
2/1/2028
450,613
Endo
Finance,
LLC
140,000
9.500%, 
7/31/2027
i
152,075
Energizer
Holdings,
Inc.
250,000
4.750%, 
6/15/2028
i
257,812
General
Mills,
Inc.
320,000
2.875%, 
4/15/2030
330,354
H.
J.
Heinz
Company
80,000
5.200%, 
7/15/2045
92,524
HCA,
Inc.
910,000
5.375%, 
2/1/2025
1,015,119
600,000
5.500%, 
6/15/2047
746,277
HLF
Financing
SARL,
LLC
230,000
7.250%, 
8/15/2026
i
240,925
Illumina,
Inc.
260,000
9.000%, 
7/1/2028
i
292,578
Imperial
Brands
Finance
plc
825,000
3.875%, 
7/26/2029
i
877,236
JBS
Investments
II
GmbH
90,000
5.750%, 
1/15/2028
i
94,950
JBS
USA,
LLC
280,000
5.500%, 
1/15/2030
i
309,889
Keurig
Dr
Pepper,
Inc.
375,000
3.350%, 
3/15/2051
373,491
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
248
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Consumer
Non-Cyclical
(0.5%)
-
continued
Keurig
Dr.
Pepper,
Inc.
$
550,000
3.200%, 
5/1/2030
$
581,970
Kimberly-Clark
Corporation
450,000
3.100%, 
3/26/2030
484,784
300,000
3.900%, 
5/4/2047
344,582
Kraft
Foods
Group,
Inc.
390,000
5.000%, 
6/4/2042
438,907
Kraft
Heinz
Foods
Company
490,000
4.625%, 
1/30/2029
549,943
380,000
3.750%, 
4/1/2030
403,312
10,000
4.250%, 
3/1/2031
11,009
Mattel,
Inc.
255,000
3.375%, 
4/1/2026
i
263,272
Medtronic,
Inc.
35,000
4.625%, 
3/15/2045
44,138
Molina
Healthcare,
Inc.
280,000
4.375%, 
6/15/2028
i
288,109
Mondelez
International,
Inc.
180,000
2.750%, 
4/13/2030
183,769
MPH
Acquisition
Holdings,
LLC
170,000
5.750%, 
11/1/2028
g,i
165,750
Mylan,
Inc.
675,000
4.550%, 
4/15/2028
762,274
Ortho-Clinical
Diagnostics,
Inc.
160,000
7.250%, 
2/1/2028
i
175,306
Par
Pharmaceutical,
Inc.
390,000
7.500%, 
4/1/2027
i
413,653
Pilgrim's
Pride
Corporation
150,000
5.875%, 
9/30/2027
i
160,755
Quest
Diagnostics,
Inc.
550,000
2.800%, 
6/30/2031
559,034
Reynolds
American,
Inc.
512,000
5.700%, 
8/15/2035
607,259
Roche
Holdings,
Inc.
336,000
4.000%, 
11/28/2044
i
394,393
Royalty
Pharma
plc
500,000
3.550%, 
9/2/2050
i
476,475
Scotts
Miracle-Gro
Company
270,000
4.500%, 
10/15/2029
278,356
SEG
Holding,
LLC
320,000
5.625%, 
10/15/2028
i
335,200
Simmons
Foods,
Inc.
150,000
4.625%, 
3/1/2029
i
151,316
Smithfield
Foods,
Inc.
350,000
2.650%, 
10/3/2021
i
352,628
Spectrum
Brands,
Inc.
130,000
5.000%, 
10/1/2029
i
137,150
120,000
5.500%, 
7/15/2030
i
128,400
Syneos
Health,
Inc.
240,000
3.625%, 
1/15/2029
i
233,400
Sysco
Corporation
600,000
6.600%, 
4/1/2040
837,019
Teleflex,
Inc.
320,000
4.250%, 
6/1/2028
i
331,600
Tenet
Healthcare
Corporation
210,000
4.625%, 
7/15/2024
214,345
570,000
5.125%, 
11/1/2027
i
596,049
110,000
6.125%, 
10/1/2028
i
114,813
Teva
Pharmaceutical
Finance
Netherlands
III
BV
3,000
2.200%, 
7/21/2021
2,996
400,000
2.800%, 
7/21/2023
398,220
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Consumer
Non-Cyclical
(0.5%)
-
continued
Thermo
Fisher
Scientific,
Inc.
$
360,000
4.133%, 
3/25/2025
$
399,761
Tyson
Foods,
Inc.
236,000
3.550%, 
6/2/2027
257,674
United
Natural
Foods,
Inc.
230,000
6.750%, 
10/15/2028
i
245,813
UnitedHealth
Group,
Inc.
600,000
2.950%, 
10/15/2027
644,046
460,000
4.625%, 
7/15/2035
561,613
VRX
Escrow
Corporation
835,000
6.125%, 
4/15/2025
i
856,042
Zoetis,
Inc.
468,000
4.700%, 
2/1/2043
564,695
Total
39,590,918
Energy
(0.4%)
Antero
Midstream
Partners,
LP
120,000
5.750%, 
3/1/2027
i
120,026
Antero
Resources
Corporation
225,000
5.000%, 
3/1/2025
g
225,173
Apache
Corporation
260,000
4.375%, 
10/15/2028
259,220
190,000
5.100%, 
9/1/2040
185,725
Archrock
Partners,
LP
250,000
6.250%, 
4/1/2028
i
253,950
BP
Capital
Markets
America,
Inc.
750,000
2.939%, 
6/4/2051
668,914
400,000
3.543%, 
4/6/2027
437,811
Buckeye
Partners,
LP
200,000
4.125%, 
3/1/2025
i
204,058
150,000
3.950%, 
12/1/2026
148,269
Canadian
Natural
Resources,
Ltd.
585,000
3.450%, 
11/15/2021
591,265
195,000
2.050%, 
7/15/2025
197,182
265,000
2.950%, 
7/15/2030
264,315
Cenovus
Energy,
Inc.
100,000
5.375%, 
7/15/2025
112,381
Centennial
Resource
Production,
LLC
230,000
6.875%, 
4/1/2027
g,i
204,700
Cheniere
Energy
Partners,
LP
545,000
5.625%, 
10/1/2026
569,906
Chevron
USA,
Inc.
1,000,000
5.050%, 
11/15/2044
1,268,483
Cimarex
Energy
Company
500,000
4.375%, 
6/1/2024
543,785
CNX
Resources
Corporation
140,000
6.000%, 
1/15/2029
i
145,485
Comstock
Resources,
Inc.
190,000
9.750%, 
8/15/2026
206,150
ConocoPhillips
590,000
6.500%, 
2/1/2039
842,099
Continental
Resources,
Inc.
31,000
4.500%, 
4/15/2023
32,107
120,000
4.375%, 
1/15/2028
g
126,180
150,000
5.750%, 
1/15/2031
i
169,479
Diamondback
Energy,
Inc.
550,000
3.500%, 
12/1/2029
570,817
Enagas
SA
330,000
5.500%, 
1/15/2028
i
322,295
Encana
Corporation
120,000
6.625%, 
8/15/2037
144,307
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
249
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Energy
(0.4%)
-
continued
Endeavor
Energy
Resources,
LP
$
170,000
5.750%, 
1/30/2028
i
$
179,574
Energean
Israel
Finance,
Ltd.
220,000
4.500%, 
3/30/2024
i
221,118
Energy
Transfer
Operating,
LP
600,000
6.000%, 
6/15/2048
690,196
Energy
Transfer
Partners,
LP
265,000
4.900%, 
3/15/2035
279,414
250,000
5.150%, 
2/1/2043
255,376
EnLink
Midstream
Partners,
LP
250,000
4.850%, 
7/15/2026
241,507
145,000
5.600%, 
4/1/2044
120,350
Enterprise
Products
Operating,
LLC
172,000
5.100%, 
2/15/2045
203,768
EOG
Resources,
Inc.
525,000
4.375%, 
4/15/2030
602,708
EQM
Midstream
Partners,
LP
280,000
6.500%, 
7/1/2027
i
304,430
120,000
6.500%, 
7/15/2048
119,700
EQT
Corporation
370,000
3.900%, 
10/1/2027
377,400
Equinor
ASA
315,000
3.000%, 
4/6/2027
337,337
Exxon
Mobil
Corporation
700,000
3.452%, 
4/15/2051
706,896
Genesis
Energy,
LP
120,000
6.500%, 
10/1/2025
117,630
Harvest
Midstream,
LP
290,000
7.500%, 
9/1/2028
i
311,663
Hess
Midstream
Operations,
LP
190,000
5.625%, 
2/15/2026
i
195,700
Hilcorp
Energy
I,
LP
230,000
5.750%, 
2/1/2029
i
232,013
Kinder
Morgan
Energy
Partners,
LP
585,000
6.500%, 
9/1/2039
757,381
Magellan
Midstream
Partners,
LP
315,000
5.000%, 
3/1/2026
361,069
Marathon
Oil
Corporation
525,000
4.400%, 
7/15/2027
577,930
Marathon
Petroleum
Corporation
458,000
4.750%, 
12/15/2023
503,032
230,000
6.500%, 
3/1/2041
305,773
MPLX,
LP
325,000
4.875%, 
12/1/2024
364,782
458,000
4.875%, 
6/1/2025
515,867
Murphy
Oil
Corporation
150,000
5.875%, 
12/1/2027
147,000
Nabors
Industries,
Ltd.
180,000
7.250%, 
1/15/2026
i
149,400
National
Fuel
Gas
Company
525,000
5.500%, 
1/15/2026
599,992
Newfield
Exploration
Company
590,000
5.625%, 
7/1/2024
648,602
280,000
5.375%, 
1/1/2026
308,567
NGL
Energy
Operating,
LLC
150,000
7.500%, 
2/1/2026
i
154,125
NGL
Energy
Partners,
LP
150,000
7.500%, 
11/1/2023
144,750
NuStar
Logistics,
LP
240,000
5.750%, 
10/1/2025
256,925
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Energy
(0.4%)
-
continued
Occidental
Petroleum
Corporation
$
490,000
2.900%, 
8/15/2024
$
484,630
250,000
3.400%, 
4/15/2026
242,750
75,000
8.500%, 
7/15/2027
88,875
290,000
3.500%, 
8/15/2029
272,107
160,000
6.450%, 
9/15/2036
176,602
410,000
4.400%, 
4/15/2046
351,140
ONEOK,
Inc.
480,000
2.200%, 
9/15/2025
488,724
Ovintiv,
Inc.
80,000
7.375%, 
11/1/2031
101,760
PBF
Holding
Company,
LLC
215,000
9.250%, 
5/15/2025
i
219,504
Pioneer
Natural
Resources
Company
225,000
4.450%, 
1/15/2026
253,260
Plains
All
American
Pipeline,
LP
300,000
4.500%, 
12/15/2026
329,174
375,000
3.550%, 
12/15/2029
373,897
Range
Resources
Corporation
120,000
9.250%, 
2/1/2026
130,382
110,000
8.250%, 
1/15/2029
i
117,700
Sabine
Pass
Liquefaction,
LLC
26,000
5.625%, 
4/15/2023
28,195
480,000
5.750%, 
5/15/2024
541,607
Schlumberger
Holdings
Corporation
280,000
4.000%, 
12/21/2025
i
309,751
Southwestern
Energy
Company
265,000
7.500%, 
4/1/2026
g
280,375
Suncor
Energy,
Inc.
270,000
3.600%, 
12/1/2024
293,557
Sunoco
Logistics
Partners
Operations,
LP
475,000
4.000%, 
10/1/2027
510,835
Sunoco,
LP
285,000
5.875%, 
3/15/2028
298,290
Targa
Resources
Partners,
LP
180,000
5.375%, 
2/1/2027
186,672
Teine
Energy,
Ltd.
220,000
6.875%, 
4/15/2029
d,i
222,662
Transocean
Guardian,
Ltd.
195,750
5.875%, 
1/15/2024
i
171,281
Transocean
Proteus,
Ltd.
90,000
6.250%, 
12/1/2024
i
85,500
USA
Compression
Partners,
LP
120,000
6.875%, 
4/1/2026
123,075
Vine
Energy
Holdings,
LLC
145,000
6.750%, 
4/15/2029
d,i
145,000
W&T
Offshore,
Inc.
260,000
9.750%, 
11/1/2023
i
230,022
Weatherford
International,
Ltd.
230,000
8.750%, 
9/1/2024
i
240,603
180,000
11.000%, 
12/1/2024
i
172,800
Western
Gas
Partners,
LP
472,000
4.000%, 
7/1/2022
483,812
Western
Midstream
Operating,
LP
80,000
4.350%, 
2/1/2025
82,800
240,000
3.950%, 
6/1/2025
246,482
130,000
5.500%, 
8/15/2048
127,936
Williams
Companies,
Inc.
500,000
7.500%, 
1/15/2031
662,187
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
250
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Energy
(0.4%)
-
continued
Williams
Partners,
LP
$
300,000
4.500%, 
11/15/2023
$
326,696
WPX
Energy,
Inc.
504,000
4.500%, 
1/15/2030
542,702
Total
30,049,402
Financials
(0.9%)
ABN
AMRO
Bank
NV
450,000
4.750%, 
7/28/2025
i
503,483
ACE
INA
Holdings,
Inc.
10,000
2.875%, 
11/3/2022
10,343
335,000
4.350%, 
11/3/2045
396,363
AerCap
Ireland
Capital
DAC
420,000
3.500%, 
1/15/2025
440,428
575,000
3.875%, 
1/23/2028
602,503
Aircastle,
Ltd.
350,000
5.000%, 
4/1/2023
373,049
480,000
2.850%, 
1/26/2028
i
459,227
Ally
Financial,
Inc.
220,000
5.750%, 
11/20/2025
249,937
American
International
Group,
Inc.
336,000
4.125%, 
2/15/2024
367,712
220,000
3.750%, 
7/10/2025
240,219
650,000
3.900%, 
4/1/2026
717,782
Ares
Capital
Corporation
425,000
3.875%, 
1/15/2026
447,904
250,000
2.150%, 
7/15/2026
243,456
Athene
Global
Funding
6,000
4.000%, 
1/25/2022
i
6,174
Australia
and
New
Zealand
Banking
Group,
Ltd.
450,000
2.950%, 
7/22/2030
b,i
465,079
375,000
2.570%, 
11/25/2035
b,i
352,477
Aviation
Capital
Group,
LLC
485,000
2.875%, 
1/20/2022
i
492,030
Avolon
Holdings
Funding,
Ltd.
350,000
5.250%, 
5/15/2024
i
378,045
125,000
4.250%, 
4/15/2026
i
130,927
Banco
Santander
Mexico
SA
400,000
5.375%, 
4/17/2025
i
449,120
Banco
Santander
SA
600,000
1.344%, 
(LIBOR
3M
+
1.120%),
4/12/2023
b
608,438
Bank
of
America
Corporation
10,000
3.550%, 
3/5/2024
b
10,551
350,000
4.200%, 
8/26/2024
386,034
470,000
4.000%, 
1/22/2025
514,702
650,000
3.458%, 
3/15/2025
b
697,950
500,000
3.824%, 
1/20/2028
b
549,306
600,000
2.496%, 
2/13/2031
b
594,476
400,000
2.592%, 
4/29/2031
b
399,165
650,000
1.922%, 
10/24/2031
b
611,693
600,000
4.244%, 
4/24/2038
b
682,544
Barclays
Bank
plc
112,000
10.179%, 
6/12/2021
i
113,923
Barclays
plc
625,000
4.972%, 
5/16/2029
b
718,650
665,000
3.564%, 
9/23/2035
b
665,958
BPCE
SA
340,000
3.500%, 
10/23/2027
i
367,778
Burford
Capital
Global
Finance,
LLC
125,000
6.250%, 
4/15/2028
d,i
128,125
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Financials
(0.9%)
-
continued
Camden
Property
Trust
$
900,000
3.150%, 
7/1/2029
$
951,804
CANPACK
SA
290,000
3.125%, 
11/1/2025
i
294,350
Capital
One
Financial
Corporation
500,000
4.200%, 
10/29/2025
553,415
Cascades
USA,
Inc.
240,000
5.125%, 
1/15/2026
i
254,700
Chobani,
LLC
310,000
4.625%, 
11/15/2028
i
316,200
CIT
Group,
Inc.
160,000
5.250%, 
3/7/2025
180,200
Citigroup,
Inc.
735,000
4.400%, 
6/10/2025
816,748
348,000
3.200%, 
10/21/2026
373,953
720,000
3.668%, 
7/24/2028
b
787,408
236,000
4.125%, 
7/25/2028
261,164
500,000
3.520%, 
10/27/2028
b
540,845
348,000
4.650%, 
7/23/2048
427,020
CNA
Financial
Corporation
250,000
3.900%, 
5/1/2029
275,632
Comerica,
Inc.
180,000
3.700%, 
7/31/2023
192,465
Commerzbank
AG
600,000
8.125%, 
9/19/2023
i
686,460
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
1,416,000
4.625%, 
12/1/2023
1,551,815
Credit
Acceptance
Corporation
250,000
5.125%, 
12/31/2024
i
255,000
Credit
Agricole
SA
600,000
3.250%, 
1/14/2030
i
616,807
Credit
Suisse
Group
AG
350,000
7.250%, 
9/12/2025
b,i,l
379,680
750,000
2.193%, 
6/5/2026
b,i
762,195
Danske
Bank
AS
675,000
3.244%, 
12/20/2025
b,i
718,706
Deutsche
Bank
AG
450,000
3.547%, 
9/18/2031
b
464,664
500,000
3.729%, 
1/14/2032
b
484,817
Discover
Bank
400,000
2.450%, 
9/12/2024
418,696
600,000
4.682%, 
8/9/2028
b
639,960
Drawbridge
Special
Opportunities
Fund,
LP
320,000
3.875%, 
2/15/2026
i
328,242
Duke
Realty,
LP
450,000
2.875%, 
11/15/2029
461,803
ERP
Operating,
LP
90,000
3.375%, 
6/1/2025
97,520
ESH
Hospitality,
Inc.
240,000
5.250%, 
5/1/2025
i
244,800
120,000
4.625%, 
10/1/2027
i
126,917
First
Horizon
National
Corporation
775,000
4.000%, 
5/26/2025
850,530
Fortress
Transportation
150,000
6.500%, 
10/1/2025
i
156,750
GE
Capital
Funding,
LLC
1,450,000
4.400%, 
5/15/2030
i
1,641,621
GE
Capital
International
Funding
Company
890,000
4.418%, 
11/15/2035
1,018,836
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
251
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Financials
(0.9%)
-
continued
Global
Net
Lease,
Inc.
$
225,000
3.750%, 
12/15/2027
i
$
219,313
Goldman
Sachs
Group,
Inc.
700,000
3.625%, 
2/20/2024
753,305
120,000
1.992%, 
1/27/2032
b
113,885
790,000
4.750%, 
10/21/2045
973,019
HCP,
Inc.
176,000
3.400%, 
2/1/2025
189,120
Healthpeak
Properties,
Inc.
400,000
2.875%, 
1/15/2031
403,250
HSBC
Holdings
plc
464,000
6.875%, 
6/1/2021
b,l
468,037
750,000
3.803%, 
3/11/2025
b
809,887
425,000
3.900%, 
5/25/2026
468,622
725,000
4.950%, 
3/31/2030
846,496
Icahn
Enterprises,
LP
410,000
6.375%, 
12/15/2025
423,325
International
Lease
Finance
Corporation
58,000
5.875%, 
8/15/2022
62,022
iStar,
Inc.
230,000
4.250%, 
8/1/2025
231,587
J.P.
Morgan
Chase
&
Company
750,000
3.875%, 
9/10/2024
822,227
265,000
3.125%, 
1/23/2025
283,916
375,000
1.040%, 
2/4/2027
b
365,751
675,000
4.203%, 
7/23/2029
b
763,616
400,000
2.522%, 
4/22/2031
b
399,158
500,000
1.953%, 
2/4/2032
b
473,881
770,000
3.882%, 
7/24/2038
b
854,468
Kimco
Realty
Corporation
510,000
3.300%, 
2/1/2025
546,436
Lloyds
Banking
Group
plc
70,000
2.907%, 
11/7/2023
b
72,527
925,000
3.870%, 
7/9/2025
b
1,006,641
LPL
Holdings,
Inc.
180,000
4.000%, 
3/15/2029
i
181,350
MGM
Growth
Properties
Operating
Partnership,
LP
170,000
4.625%, 
6/15/2025
i
179,299
140,000
5.750%, 
2/1/2027
154,341
Mitsubishi
UFJ
Financial
Group,
Inc.
600,000
3.287%, 
7/25/2027
654,177
800,000
2.048%, 
7/17/2030
769,990
Mizuho
Financial
Group,
Inc.
660,000
1.979%, 
9/8/2031
b
622,474
Morgan
Stanley
224,000
4.051%, 
(LIBOR
3M
+
3.810%),
4/15/2021
b,l
224,000
250,000
2.188%, 
4/28/2026
b
258,308
540,000
4.350%, 
9/8/2026
610,122
720,000
3.591%, 
7/22/2028
b
784,934
100,000
3.772%, 
1/24/2029
b
109,374
720,000
3.622%, 
4/1/2031
b
781,736
360,000
2.802%, 
1/25/2052
b
331,368
MPT
Operating
Partnership,
LP
145,000
4.625%, 
8/1/2029
152,544
Nasdaq,
Inc.
335,000
3.250%, 
4/28/2050
314,916
295,000
3.850%, 
6/30/2026
325,640
Nationwide
Building
Society
400,000
3.622%, 
4/26/2023
b,i
412,590
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Financials
(0.9%)
-
continued
Natwest
Group
plc
$
445,000
3.032%, 
11/28/2035
b
$
424,566
NFP
Corporation
95,000
6.875%, 
8/15/2028
i
98,563
Omega
Healthcare
Investors,
Inc.
375,000
3.375%, 
2/1/2031
371,950
Park
Aerospace
Holdings,
Ltd.
350,000
4.500%, 
3/15/2023
i
365,533
PennyMac
Financial
Services,
Inc.
190,000
4.250%, 
2/15/2029
i
181,688
Playtika
Holding
Corporation
70,000
4.250%, 
3/15/2029
i
68,964
Prudential
Financial,
Inc.
675,000
3.700%, 
3/13/2051
714,567
Quicken
Loans,
LLC
190,000
3.625%, 
3/1/2029
i
182,875
Realty
Income
Corporation
475,000
4.125%, 
10/15/2026
537,272
250,000
1.800%, 
3/15/2033
229,573
Regency
Centers,
LP
720,000
4.125%, 
3/15/2028
786,995
Reinsurance
Group
of
America,
Inc.
510,000
4.700%, 
9/15/2023
558,649
Royal
Bank
of
Scotland
Group
plc
500,000
6.000%, 
12/29/2025
b,l
548,600
475,000
4.445%, 
5/8/2030
b
529,045
Service
Properties
Trust
200,000
4.500%, 
6/15/2023
203,172
110,000
4.750%, 
10/1/2026
107,250
150,000
5.500%, 
12/15/2027
158,660
Societe
Generale
SA
354,000
4.750%, 
11/24/2025
i
393,097
Springleaf
Finance
Corporation
390,000
6.875%, 
3/15/2025
443,596
230,000
6.625%, 
1/15/2028
260,661
Sumitomo
Mitsui
Financial
Group,
Inc.
336,000
3.010%, 
10/19/2026
358,800
375,000
1.710%, 
1/12/2031
348,445
Synchrony
Financial
155,000
4.250%, 
8/15/2024
168,610
350,000
3.950%, 
12/1/2027
377,109
UBS
Group
Funding
Jersey,
Ltd.
336,000
4.125%, 
9/24/2025
i
372,945
UDR,
Inc.
400,000
2.100%, 
8/1/2032
371,650
VEREIT
Operating
Partnership,
LP
500,000
2.850%, 
12/15/2032
484,226
VICI
Properties,
LP
150,000
4.250%, 
12/1/2026
i
153,463
80,000
3.750%, 
2/15/2027
i
80,000
150,000
4.625%, 
12/1/2029
i
155,604
Voya
Financial,
Inc.
425,000
3.125%, 
7/15/2024
454,180
Wells
Fargo
&
Company
550,000
4.125%, 
8/15/2023
595,004
350,000
3.000%, 
2/19/2025
372,409
450,000
3.000%, 
4/22/2026
480,876
450,000
3.000%, 
10/23/2026
480,290
550,000
2.393%, 
6/2/2028
b
563,692
310,000
4.900%, 
11/17/2045
372,064
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
252
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Financials
(0.9%)
-
continued
Westpac
Banking
Corporation
$
900,000
2.668%, 
11/15/2035
b
$
854,010
Total
65,133,579
Mortgage-Backed
Securities
(3.9%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
13,201,069
3.000%, 
3/25/2050
13,777,642
6,587,334
3.000%, 
4/1/2050
6,879,397
4,775,976
3.500%, 
7/1/2047
5,070,172
Federal
National
Mortgage
Association
2,974,871
4.500%, 
5/1/2048
3,247,089
5,426,135
3.500%, 
10/1/2048
5,731,243
3,011,733
3.500%, 
6/1/2049
3,187,813
6,224,442
3.500%, 
8/1/2049
6,587,139
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
23,725,000
1.500%, 
4/1/2036
d
23,832,111
34,225,000
2.000%, 
4/1/2036
d
35,124,177
15,000,000
2.500%, 
4/1/2036
d
15,606,445
22,975,000
2.000%, 
5/1/2036
d
23,549,656
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
8,800,000
2.000%, 
4/1/2051
d,m
8,783,500
34,925,000
2.500%, 
4/1/2051
d
35,839,053
52,600,000
2.000%, 
5/1/2051
d,m
52,404,805
35,544,000
2.500%, 
5/1/2051
d
36,397,889
9,355,665
4.000%, 
7/1/2048
10,041,632
Total
286,059,763
Technology
(0.3%)
Apple,
Inc.
300,000
3.000%, 
2/9/2024
320,129
95,000
3.200%, 
5/11/2027
103,704
640,000
3.000%, 
6/20/2027
694,394
960,000
3.000%, 
11/13/2027
1,040,761
835,000
3.750%, 
9/12/2047
923,577
Applied
Materials,
Inc.
240,000
3.300%, 
4/1/2027
261,152
Baidu,
Inc.
500,000
3.425%, 
4/7/2030
523,808
Banff
Merger
Sub,
Inc.
110,000
9.750%, 
9/1/2026
i
117,150
Broadcom
Corporation
185,000
3.875%, 
1/15/2027
200,892
500,000
3.500%, 
1/15/2028
530,858
Broadcom,
Inc.
206,000
3.469%, 
4/15/2034
i
206,704
250,000
5.000%, 
4/15/2030
284,929
CDW,
LLC
150,000
4.250%, 
4/1/2028
155,250
CommScope
Technologies
Finance,
LLC
257,000
6.000%, 
6/15/2025
i
262,153
CommScope,
Inc.
160,000
7.125%, 
7/1/2028
i
169,933
Diamond
1
Finance
Corporation
1,300,000
6.020%, 
6/15/2026
i
1,539,001
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Technology
(0.3%)
-
continued
Diamond
Sports
Group,
LLC
$
420,000
6.625%, 
8/15/2027
i
$
218,400
Fiserv,
Inc.
775,000
2.250%, 
6/1/2027
792,212
480,000
2.650%, 
6/1/2030
483,419
Gartner,
Inc.
20,000
4.500%, 
7/1/2028
i
20,625
235,000
3.750%, 
10/1/2030
i
233,057
Hewlett
Packard
Enterprise
Company
475,000
4.650%, 
10/1/2024
530,244
Iron
Mountain,
Inc.
320,000
4.875%, 
9/15/2029
i
323,984
250,000
5.250%, 
7/15/2030
i
257,950
KLA
Corporation
720,000
3.300%, 
3/1/2050
691,553
Lam
Research
Corporation
600,000
2.875%, 
6/15/2050
571,945
Micron
Technology,
Inc.
275,000
2.497%, 
4/24/2023
285,420
Microsoft
Corporation
297,000
2.675%, 
6/1/2060
272,633
700,000
4.200%, 
11/3/2035
836,425
890,000
3.700%, 
8/8/2046
997,657
NCR
Corporation
450,000
6.125%, 
9/1/2029
i
476,437
NVIDIA
Corporation
675,000
3.500%, 
4/1/2040
726,082
NXP
Funding,
LLC
700,000
4.875%, 
3/1/2024
i
778,019
Open
Text
Corporation
290,000
4.125%, 
2/15/2030
i
293,970
Oracle
Corporation
10,000
2.500%, 
5/15/2022
10,195
332,000
2.400%, 
9/15/2023
345,423
750,000
2.800%, 
4/1/2027
789,857
600,000
3.850%, 
7/15/2036
638,117
625,000
3.600%, 
4/1/2040
627,699
PTC,
Inc.
130,000
3.625%, 
2/15/2025
i
133,412
110,000
4.000%, 
2/15/2028
i
111,650
Qorvo,
Inc.
200,000
3.375%, 
4/1/2031
i
195,978
Rackspace
Technology
Global,
Inc.
230,000
5.375%, 
12/1/2028
g,i
233,870
Seagate
HDD
Cayman
290,000
3.375%, 
7/15/2031
i
278,821
Sensata
Technologies,
Inc.
420,000
3.750%, 
2/15/2031
i
414,095
Shift4
Payments,
LLC
80,000
4.625%, 
11/1/2026
i
83,000
SS&C
Technologies,
Inc.
490,000
5.500%, 
9/30/2027
i
521,875
Switch,
Ltd.
240,000
3.750%, 
9/15/2028
i
236,333
Teledyne
Technologies,
Inc.
384,000
2.250%, 
4/1/2028
382,149
Texas
Instruments,
Inc.
580,000
4.150%, 
5/15/2048
690,026
Tyco
Electronics
Group
SA
120,000
3.450%, 
8/1/2024
129,288
240,000
3.125%, 
8/15/2027
257,457
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
253
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Technology
(0.3%)
-
continued
VMware,
Inc.
$
400,000
4.650%, 
5/15/2027
$
453,406
Total
22,657,078
Transportation
(0.1%)
Air
Canada
Pass
Through
Trust
84,930
3.875%, 
3/15/2023
i
84,798
American
Airlines,
Inc.
170,000
11.750%, 
7/15/2025
i
210,288
340,000
5.500%, 
4/20/2026
i
353,835
50,000
5.750%, 
4/20/2029
i
53,183
Avis
Budget
Car
Rental,
LLC
190,000
5.375%, 
3/1/2029
i
196,541
Boeing
Company
313,000
5.805%, 
5/1/2050
394,051
Burlington
Northern
Santa
Fe,
LLC
355,000
5.750%, 
5/1/2040
475,180
285,000
4.450%, 
3/15/2043
336,421
CSX
Corporation
360,000
3.800%, 
4/15/2050
382,000
Delta
Air
Lines,
Inc.
220,000
7.000%, 
5/1/2025
i
253,431
500,000
4.750%, 
10/20/2028
i
543,698
Hawaiian
Brand
Intellectual
Property,
Ltd.
250,000
5.750%, 
1/20/2026
i
265,650
Mileage
Plus
Holdings,
LLC
240,000
6.500%, 
6/20/2027
i
263,100
Southwest
Airlines
Company
225,000
4.750%, 
5/4/2023
242,931
500,000
5.125%, 
6/15/2027
574,835
United
Airlines
Pass
Through
Trust
10,000
3.700%, 
12/1/2022
10,138
United
Parcel
Service,
Inc.
480,000
4.450%, 
4/1/2030
561,024
XPO
Logistics,
Inc.
287,000
6.750%, 
8/15/2024
i
300,991
Total
5,502,095
U.S.
Government
&
Agencies
(4.6%)
U.S.
Treasury
Bonds
880,000
1.625%, 
11/15/2050
733,287
20,205,000
2.250%, 
11/15/2027
21,388,098
18,050,000
2.875%, 
5/15/2028
19,841,603
5,830,000
5.250%, 
11/15/2028
7,422,774
7,700,000
1.625%, 
8/15/2029
7,727,371
1,580,000
1.500%, 
2/15/2030
1,560,559
500,000
0.875%, 
11/15/2030
462,422
160,000
1.125%, 
2/15/2031
151,175
2,050,000
4.375%, 
5/15/2040
2,748,201
7,430,000
1.375%, 
11/15/2040
6,320,144
11,465,000
3.000%, 
5/15/2042
12,803,628
25,124,000
2.500%, 
5/15/2046
25,602,926
16,725,000
2.875%, 
5/15/2049
18,366,141
U.S.
Treasury
Notes
1,700,000
2.500%, 
1/15/2022
1,732,672
1,900,000
1.125%, 
2/28/2022
1,918,258
275,000
0.125%, 
6/30/2022
275,064
8,320,000
1.875%, 
7/31/2022
8,514,675
15,930,000
0.125%, 
10/31/2022
15,928,133
8,115,000
2.000%, 
11/30/2022
8,365,107
38,300,000
0.125%, 
12/31/2022
38,283,543
1,845,000
0.125%, 
1/31/2023
1,844,135
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
U.S.
Government
&
Agencies
(4.6%)
-
continued
$
11,580,000
2.500%, 
3/31/2023
$
12,119,646
350,000
0.125%, 
10/15/2023
348,852
16,710,000
2.500%, 
1/31/2024
17,737,404
1,460,000
2.125%, 
7/31/2024
1,541,041
95,000
2.250%, 
11/15/2024
100,815
13,150,000
2.125%, 
11/30/2024
13,900,475
43,700,000
2.875%, 
5/31/2025
47,610,809
12,650,000
2.625%, 
1/31/2026
13,694,613
25,060,000
2.500%, 
2/28/2026
26,983,551
300,000
0.750%, 
1/31/2028
287,625
Total
336,314,747
Utilities
(0.3%)
Ameren
Illinois
Company
450,000
4.500%, 
3/15/2049
541,686
American
Water
Capital
Corporation
650,000
2.800%, 
5/1/2030
668,486
Appalachian
Power
Company
238,000
3.300%, 
6/1/2027
256,110
Arizona
Public
Service
Company
50,000
3.500%, 
12/1/2049
50,973
Berkshire
Hathaway
Energy
Company
375,000
4.500%, 
2/1/2045
434,700
Calpine
Corporation
380,000
4.500%, 
2/15/2028
i
383,192
CenterPoint
Energy,
Inc.
300,000
2.500%, 
9/1/2024
314,553
420,000
4.250%, 
11/1/2028
471,051
CMS
Energy
Corporation
236,000
2.950%, 
2/15/2027
249,377
Commonwealth
Edison
Company
355,000
3.700%, 
3/1/2045
377,519
180,000
4.350%, 
11/15/2045
208,470
Consolidated
Edison
Company
of
New
York,
Inc.
550,000
4.125%, 
5/15/2049
611,517
Consolidated
Edison,
Inc.
168,000
4.500%, 
12/1/2045
194,071
Consumers
Energy
Company
550,000
4.350%, 
4/15/2049
658,084
DTE
Electric
Company
265,000
3.700%, 
3/15/2045
280,240
360,000
3.700%, 
6/1/2046
382,171
Duke
Energy
Carolinas,
LLC
440,000
3.700%, 
12/1/2047
467,399
Duke
Energy
Corporation
448,000
3.750%, 
9/1/2046
450,543
Duke
Energy
Florida,
LLC
320,000
3.200%, 
1/15/2027
345,945
Duke
Energy
Indiana,
LLC
450,000
3.750%, 
5/15/2046
470,414
Edison
International
675,000
5.750%, 
6/15/2027
787,422
Exelon
Corporation
375,000
4.700%, 
4/15/2050
449,178
240,000
5.100%, 
6/15/2045
297,544
336,000
4.450%, 
4/15/2046
385,170
FirstEnergy
Corporation
150,000
2.850%, 
7/15/2022
152,250
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
254
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Utilities
(0.3%)
-
continued
ITC
Holdings
Corporation
$
67,000
4.050%, 
7/1/2023
$
71,529
224,000
5.300%, 
7/1/2043
274,293
Mississippi
Power
Company
340,000
3.950%, 
3/30/2028
374,775
Monongahela
Power
Company
275,000
5.400%, 
12/15/2043
i
338,660
National
Rural
Utilities
Cooperative
Finance
Corporation
295,000
3.900%, 
11/1/2028
329,357
575,000
3.700%, 
3/15/2029
629,553
NextEra
Energy
Operating
Partners,
LP
320,000
3.875%, 
10/15/2026
i
335,600
NiSource
Finance
Corporation
415,000
5.650%, 
2/1/2045
533,208
NiSource,
Inc.
550,000
3.600%, 
5/1/2030
596,123
NRG
Energy,
Inc.
345,000
3.375%, 
2/15/2029
i
336,806
Pacific
Gas
and
Electric
Company
350,000
3.300%, 
12/1/2027
365,521
256,000
3.250%, 
6/1/2031
254,868
350,000
3.950%, 
12/1/2047
322,124
PG&E
Corporation
160,000
5.000%, 
7/1/2028
169,036
130,000
5.250%, 
7/1/2030
137,800
PPL
Capital
Funding,
Inc.
415,000
5.000%, 
3/15/2044
494,633
PPL
Electric
Utilities
Corporation
354,000
3.950%, 
6/1/2047
390,095
Public
Service
Electric
&
Gas
Company
350,000
3.000%, 
5/15/2027
375,675
San
Diego
Gas
and
Electric
Company
600,000
4.150%, 
5/15/2048
676,361
South
Carolina
Electric
&
Gas
Company
350,000
5.100%, 
6/1/2065
463,986
Southern
California
Edison
Company
485,000
4.000%, 
4/1/2047
499,605
Southern
Company
325,000
3.250%, 
7/1/2026
347,872
Southern
Company
Gas
Capital
Corporation
140,000
4.400%, 
5/30/2047
154,831
Southwestern
Electric
Power
Company
180,000
3.900%, 
4/1/2045
187,505
Suburban
Propane
Partners,
LP
310,000
5.875%, 
3/1/2027
322,400
Talen
Energy
Supply,
LLC
260,000
7.625%, 
6/1/2028
i
263,250
TerraForm
Power
Operating,
LLC
305,000
5.000%, 
1/31/2028
i
329,110
Virginia
Electric
and
Power
Company
425,000
4.600%, 
12/1/2048
522,052
Principal
Amount
Long-Term
Fixed
Income
(13.9%)
Value
Utilities
(0.3%)
-
continued
Vistra
Operations
Company,
LLC
$
220,000
5.000%, 
7/31/2027
i
$
226,604
Total
20,211,297
Total
Long-Term
Fixed
Income
(cost
$978,293,972)
1,010,534,771
Shares
Collateral
Held
for
Securities
Loaned
(
0.5%
)
Value
37,183,975
Thrivent
Cash
Management
Trust
37,183,975
Total
Collateral
Held
for
Securities
Loaned
(cost
$37,183,975)
37,183,975
Shares
or
Principal
Amount
Short-Term
Investments
(
9.5%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
13,100,000
0.085%,
4/7/2021
n,o
13,100,000
16,600,000
0.085%,
4/8/2021
n,o
16,600,000
100,000
0.075%,
4/21/2021
n
100,000
1,800,000
0.040%,
5/4/2021
n,o
1,799,983
100,000
0.030%,
5/6/2021
n,o
99,999
100,000
0.040%,
5/12/2021
n,o
99,999
3,900,000
0.030%,
5/13/2021
n,o
3,899,954
25,500,000
0.011%,
5/18/2021
n,o
25,499,667
100,000
0.040%,
5/19/2021
n,o
99,999
3,000,000
0.035%,
6/2/2021
n,o
2,999,897
200,000
0.015%,
6/23/2021
n,o
199,991
100,000
0.000%,
7/7/2021
o
99,992
Thrivent
Core
Short-Term
Reserve
Fund
62,318,173
0.180%
623,181,734
U.S.
Treasury
Bills
900,000
0.021%,
4/20/2021
n,p
899,992
800,000
0.028%,
4/22/2021
n,p
799,995
900,000
0.030%,
5/13/2021
n,p
899,979
600,000
0.048%,
8/26/2021
n,p
599,945
Total
Short-Term
Investments
(cost
$690,911,330)
690,981,126
Contracts
Options
Purchased
(
<0.1%
)
Value
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
137
$132.50,
expires
5/21/2021
265,438
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
132
$160.00,
expires
5/21/2021
775,500
Total
Options
Purchased
(cost
$517,556)
1,040,938
Total
Investments
(cost
$5,822,226,033)
103.8%
$7,558,628,766
Other
Assets
and
Liabilities,
Net
(3.8%)
(276,706,532)
Total
Net
Assets
100.0%
$7,281,922,234
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
255
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
March
31,
2021.
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
All
or
a
portion
of
the
loan
is
unfunded.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
f
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
March
31,
2021.
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
March
31,
2021,
the
value
of
these
investments
was
$169,581,164
or
2.3%
of
total
net
assets.
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
March
31,
2021.
k
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.
l
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
m
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
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.
p
At
March
31,
2021,
$2,252,923
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
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
1,899,549
Common
Stock
34,949,541
Total
lending
$36,849,090
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$37,183,975
Net
amounts
due
to
counterparty
$334,885
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
FNMA
-
Federal
National
Mortgage
Association
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.
PIK
-
Payment-In-Kind
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
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
256
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
3,811,208
3,811,208
Capital
Goods
6,812,564
6,812,564
Communications
Services
11,728,975
11,728,975
Consumer
Cyclical
8,558,779
8,558,779
Consumer
Non-Cyclical
9,792,451
9,711,651
80,800
Energy
749,700
749,700
Financials
4,013,616
4,013,616
Technology
4,961,250
4,961,250
Transportation
2,377,960
2,377,960
Utilities
2,619,985
2,619,985
Registered
Investment
Companies
Unaffiliated
57,237,491
57,237,491
Affiliated
2,862,870,698
2,862,870,698
Common
Stock
Communications
Services
177,744,083
177,678,263
65,820
Consumer
Discretionary
353,503,036
353,500,076
2,960
Consumer
Staples
52,732,940
52,732,940
Energy
35,155,352
35,155,352
Financials
294,778,909
291,570,987
3,206,339
1,583
Health
Care
314,905,951
314,905,951
Industrials
309,499,087
305,251,897
4,247,190
Information
Technology
589,685,106
588,664,124
1,020,982
Materials
66,295,036
64,249,095
2,045,935
6
Real
Estate
113,580,975
113,580,975
Utilities
25,014,968
25,014,968
Long-Term
Fixed
Income
Asset-Backed
Securities
59,285,397
59,285,397
Basic
Materials
13,117,847
13,117,847
Capital
Goods
18,287,740
18,287,740
Collateralized
Mortgage
Obligations
43,997,769
39,772,769
4,225,000
Commercial
Mortgage-Backed
Securities
6,635,016
6,635,016
Communications
Services
33,665,462
33,562,395
103,067
Consumer
Cyclical
30,026,661
30,026,661
Consumer
Non-Cyclical
39,590,918
39,590,918
Energy
30,049,402
30,049,402
Financials
65,133,579
65,133,579
Mortgage-Backed
Securities
286,059,763
286,059,763
Technology
22,657,078
22,657,078
Transportation
5,502,095
5,502,095
U.S.
Government
&
Agencies
336,314,747
336,314,747
Utilities
20,211,297
20,211,297
Short-Term
Investments
67,799,392
67,799,392
Options
Purchased
1,040,938
1,040,938
Subtotal
Investments
in
Securities
$6,387,805,221
$5,243,453,755
$1,139,941,010
$4,410,456
Other
Investments  *
Total
Affiliated
Short-Term
Investments
623,181,734
Affiliated
Registered
Investment
Companies
510,457,836
Collateral
Held
for
Securities
Loaned
37,183,975
Subtotal
Other
Investments
$1,170,823,545
Total
Investments
at
Value
$7,558,628,766
*
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.  
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
257
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
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
48,194,819
48,194,819
Total
Asset
Derivatives
$48,194,819
$48,194,819
$–
$–
Liability
Derivatives
Futures
Contracts
2,794,347
2,794,347
Call
Options
Written
363,219
338,422
24,797
Total
Liability
Derivatives
$3,157,566
$3,132,769
$–
$24,797
The
following
table
presents
Moderately
Aggressive
Allocation
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$64,299,483
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
291
June
2021
$
64,295,979
(
$
64,550)
CBOT
5-Yr.
U.S.
Treasury
Note
329
June
2021
41,118,150
(
520,064)
CBOT
U.S.
Long
Bond
216
June
2021
34,837,485
(
1,445,235)
CME
E-mini
S&P
500
Index
4,933
June
2021
963,579,415
14,979,795
CME
Ultra
Long
Term
U.S.
Treasury
Bond
7
June
2021
1,278,993
(
10,461)
ICE
US
mini
MSCI
Emerging
Markets
Index
297
June
2021
19,794,125
(
155,000)
Total
Futures
Long
Contracts
$
1,124,904,147
$
12,784,485
CBOT
10-Yr.
U.S.
Treasury
Note
(167)
June
2021
(
$
22,416,604)
$
550,041
CME
E-mini
Russell
2000
Index
(4,105)
June
2021
(
480,950,914)
24,782,789
CME
E-mini
S&P
Mid-Cap
400
Index
(1,796)
June
2021
(
474,908,200)
6,996,320
CME
Euro
Foreign
Exchange
Currency
(157)
June
2021
(
23,438,398)
394,723
Eurex
Euro
STOXX
50
Index
(511)
June
2021
(
22,603,993)
(
599,037)
ICE
mini
MSCI
EAFE
Index
(47)
June
2021
(
5,197,142)
45,942
Ultra
10-Yr.
U.S.
Treasury
Note
(83)
June
2021
(
12,371,272)
445,209
Total
Futures
Short
Contracts
(
$
1,041,886,523)
$32,615,987
Total
Futures
Contracts
$
83,017,624
$45,400,472
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
258
Counterparty:
CCM
-
CCM
Futures,
LLC
JPM
-
J.P.
Morgan
MSC
-
Morgan
Stanley
&
Company
The
following
table
presents
Moderately
Aggressive
Allocation
Portfolio's
options
contracts
held
as
of
March
31,
2021.
Option
_
Description                              
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
137.00
$
132.50
May
2021
17,938,438
$
265,438
$
119,530
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
132.00
160.00
May
2021
20,406,375
775,500
403,851
Total
Options
Purchased
Contracts
$1,040,938
$523,382
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(12.00)
$
102.72
April
2021
(11,977,500)
(
$
12)
$
65,613
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(11.75)
100.83
May
2021
(11,706,397)
(
24,785)
44,522
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
(137.00)
130.50
May
2021
(17,938,437)
(
117,734)
(
45,298)
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
(132.00)
153.00
May
2021
(20,406,375)
(
220,688)
(
97,337)
Total
Options
Written
Contracts
($363,219)
($32,500)
(*)  Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
259
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$93,863
$963
$–
$88,467
9,149
1.2%
Core
Emerging
Markets
Equity
71,546
74,459
6,068
1.0
Core
International
Equity
141,026
34,800
110,947
10,920
1.5
Core
Low
Volatility
Equity
361,674
132,000
236,585
18,199
3.3
Global
Stock
471,052
496,120
33,287
6.8
High
Yield
63,326
729
63,543
13,727
0.9
Income
201,882
1,403
194,178
17,768
2.7
International
Allocation
554,547
577,940
54,722
7.9
International
Index
42,672
44,095
3,372
0.6
Large
Cap
Value
511,765
581,460
26,681
8.0
Limited
Maturity
Bond
105,124
426
105,076
10,446
1.4
Mid
Cap
Stock
586,630
642,731
25,858
8.8
Small
Cap
Stock
138,119
157,726
6,600
2.2
Total
Affiliated
Registered
Investment
Companies
3,343,226
3,373,327
46.3
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
417,729
627,284
421,831
623,182
62,318
8.6
Total
Affiliated
Short-Term
Investments
417,729
623,182
8.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
59,725
219,437
241,978
37,184
37,184
0.5
Total
Collateral
Held
for
Securities
Loaned
59,725
37,184
0.5
Total
Value
$3,820,680
$4,033,693
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$(6,359)
$962
Core
Emerging
Markets
Equity
2,913
Core
International
Equity
185
4,536
Core
Low
Volatility
Equity
7,103
(192)
Global
Stock
25,068
High
Yield
(512)
727
Income
(9,107)
1,404
International
Allocation
23,394
International
Index
1,423
Large
Cap
Value
69,695
Limited
Maturity
Bond
(474)
426
Mid
Cap
Stock
56,101
Small
Cap
Stock
19,608
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
(30)
30
201
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$3,720
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
39
Total
Affiliated
Income
from
Securities
Loaned,
Net
$39
Total
Value
$7,258
$186,124
$–
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
260
Principal
Amount
Bank
Loans
(
2.0%
)
a
Value
Basic
Materials
(0.1%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
500,837
4.690%, 
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
497,622
Hexion,
Inc.,
Term
Loan
595,638
3.740%, 
(LIBOR
3M
+
3.500%),
7/1/2026
b
595,268
INEOS
US
Petrochem,
LLC,
Term
Loan
995,000
3.250%, 
(LIBOR
3M
+
2.750%),
1/29/2026
b
991,269
Innophos
Holdings,
Inc.,
Term
Loan
594,000
3.609%, 
(LIBOR
1M
+
3.500%),
2/7/2027
b
591,773
Nouryon
USA,
LLC,
Term
Loan
1,463,942
2.860%, 
(LIBOR
1M
+
2.750%),
10/1/2025
b
1,440,461
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
1,072,490
7.500%, 
(LIBOR
1M
+
6.500%),
10/31/2024
b
1,071,374
PQ
Corporation,
Term
Loan
506,142
4.000%, 
(LIBOR
3M
+
3.000%),
2/7/2027
b
505,929
Venator
Finance
SARL,
Term
Loan
708,165
3.109%, 
(LIBOR
1M
+
3.000%),
8/8/2024
b
697,840
Total
6,391,536
Capital
Goods
(0.3%)
Flex
Acquisition
Company,
Inc.,
Term
Loan
1,301,498
3.238%, 
(LIBOR
3M
+
3.250%),
6/29/2025
b
1,278,722
595,000
4.000%, 
(LIBOR
3M
+
3.500%),
3/2/2028
b
586,914
Gemini
HDPE,
LLC,
Term
Loan
885,000
3.500%, 
(LIBOR
3M
+
3.000%),
12/31/2027
b
880,026
GFL
Environmental,
Inc.,
Term
Loan
912,713
3.500%, 
(LIBOR
1M
+
3.000%),
5/31/2025
b
912,713
Graham
Packaging
Company,
Inc.,
Term
Loan
928,814
3.750%, 
(LIBOR
1M
+
3.000%),
8/4/2027
b
922,377
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
922,115
3.443%, 
(LIBOR
3M
+
3.250%),
4/3/2024
b
901,368
MI
Windows
and
Doors,
Inc.,
Term
Loan
822,937
4.500%, 
(LIBOR
1M
+
3.750%),
12/18/2027
b
825,513
Navistar,
Inc.,
Term
Loan
1,493,800
3.620%, 
(LIBOR
1M
+
3.500%),
11/6/2024
b
1,493,427
Pactiv
Evergreen
Group
Holdings,
Inc.,
Term
Loan
418,844
2.859%, 
(LIBOR
1M
+
2.750%),
2/5/2023
b
416,816
Principal
Amount
Bank
Loans
(2.0%)
a
Value
Capital
Goods
(0.3%)
-
continued
$
623,437
3.359%, 
(LIBOR
1M
+
3.250%),
2/5/2026
b
$
615,956
TransDigm,
Inc.,
Term
Loan
2,084,072
2.359%, 
(LIBOR
1M
+
2.250%),
12/9/2025
b
2,038,910
TricorBraun
Holdings,
Inc.,
Delayed
Draw
213,007
0.000%, 
(LIBOR
1M
+
3.250%),
3/3/2028
b,c,d
210,788
TricorBraun
Holdings,
Inc.,
Term
Loan
946,994
0.000%, 
(LIBOR
3M
+
3.250%),
3/3/2028
b,c,d
937,126
Vertiv
Group
Corporation,
Term
Loan
3,201,975
2.869%, 
(LIBOR
3M
+
2.750%),
3/2/2027
b
3,174,630
Total
15,195,286
Communications
Services
(0.4%)
Altice
France
SA,
Term
Loan
620,812
2.859%, 
(LIBOR
1M
+
2.750%),
7/31/2025
b
608,061
Cablevision
Lightpath,
LLC,
Term
Loan
882,787
3.750%, 
(LIBOR
1M
+
3.250%),
12/1/2027
b
880,581
CCI
Buyer,
Inc.,
Term
Loan
225,000
4.750%, 
(LIBOR
3M
+
4.000%),
12/17/2027
b
225,211
CommScope,
Inc.,
Term
Loan
1,131,385
3.359%, 
(LIBOR
1M
+
3.250%),
4/4/2026
b
1,122,957
Diamond
Sports
Group,
LLC,
Term
Loan
891,245
3.360%, 
(LIBOR
1M
+
3.250%),
8/24/2026
b
608,274
E.W.
Scripps
Company,
Term
Loan
877,800
3.750%, 
(LIBOR
1M
+
3.000%),
1/7/2028
b
873,824
Eagle
Broadband
Investments,
LLC,
Term
Loan
1,471,313
3.750%, 
(LIBOR
3M
+
3.000%),
11/12/2027
b
1,466,413
Entercom
Media
Corporation,
Term
Loan
801,683
2.609%, 
(LIBOR
1M
+
2.500%),
11/17/2024
b
783,044
GCI,
LLC,
Term
Loan
1,108,727
3.500%, 
(LIBOR
1M
+
2.750%),
10/15/2025
b,c,d
1,102,263
HCP
Acquisition,
LLC,
Term
Loan
1,159,801
3.750%, 
(LIBOR
1M
+
2.750%),
5/16/2024
b
1,157,249
iHeartCommunications,
Inc.,
Term
Loan
692,982
3.109%, 
(LIBOR
1M
+
3.000%),
5/1/2026
b
683,994
Intermediate
Dutch
Holdings,
Term
Loan
815,000
0.000%, 
(LIBOR
1M
+
4.000%),
3/5/2028
b,c,d
811,333
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
261
Principal
Amount
Bank
Loans
(2.0%)
a
Value
Communications
Services
(0.4%)
-
continued
Lumen
Technologies,
Inc.,
Term
Loan
$
1,073,482
2.359%, 
(LIBOR
1M
+
2.250%),
3/15/2027
b,c,d
$
1,060,933
Meredith
Corporation,
Term
Loan
761,165
5.250%, 
(LIBOR
3M
+
4.250%),
1/31/2025
b
771,791
NEP
Group,
Inc.,
Term
Loan
1,476,025
3.359%, 
(LIBOR
1M
+
3.250%),
10/20/2025
b
1,429,073
140,000
7.109%, 
(LIBOR
1M
+
7.000%),
10/19/2026
b
128,216
Nexstar
Broadcasting,
Inc.,
Term
Loan
1,347,163
2.615%, 
(LIBOR
1M
+
2.500%),
9/19/2026
b
1,335,887
Nielsen
Finance,
LLC,
Term
Loan
383,443
4.750%, 
(LIBOR
1M
+
3.750%),
6/4/2025
b
384,102
Peraton
Corporation,
Delayed
Draw
760,000
0.000%, 
(LIBOR
1M
+
3.750%),
2/1/2028
b,c,d
759,369
Peraton
Corporation,
Term
Loan
430,000
4.500%, 
(LIBOR
3M
+
3.750%),
2/1/2028
b
429,643
Radiate
Holdco,
LLC,
Term
Loan
2,094,750
4.250%, 
(LIBOR
1M
+
3.500%),
9/25/2026
b
2,092,613
Terrier
Media
Buyer,
Inc.,
Term
Loan
1,211,963
3.609%, 
(LIBOR
1M
+
3.500%),
12/17/2026
b
1,200,013
TNS,
Inc.,
Term
Loan
534,140
4.110%, 
(LIBOR
1M
+
4.000%),
8/14/2022
b
531,245
WideOpenWest
Finance,
LLC,
Term
Loan
1,111,089
4.250%, 
(LIBOR
1M
+
3.250%),
8/19/2023
b
1,107,134
Xplornet
Communications,
Inc.,
Term
Loan
908,498
4.859%, 
(LIBOR
1M
+
4.750%),
6/10/2027
b
907,790
Ziggo
Financing
Partnership,
Term
Loan
560,000
2.606%, 
(LIBOR
1M
+
2.500%),
4/30/2028
b,c,d
553,890
Total
23,014,903
Consumer
Cyclical
(0.3%)
1011778
B.C.,
LLC,
Term
Loan
1,223,693
1.859%, 
(LIBOR
1M
+
1.750%),
11/19/2026
b,c,d
1,200,370
Caesars
Resort
Collection,
LLC,
Term
Loan
1,169,125
4.609%, 
(LIBOR
1M
+
4.500%),
7/20/2025
b
1,170,586
Carnival
Corporation,
Term
Loan
587,043
8.500%, 
(LIBOR
1M
+
7.500%),
6/30/2025
b
604,654
Principal
Amount
Bank
Loans
(2.0%)
a
Value
Consumer
Cyclical
(0.3%)
-
continued
Cengage
Learning,
Inc.,
Term
Loan
$
580,249
5.250%, 
(LIBOR
3M
+
4.250%),
6/7/2023
b
$
573,361
City
Brewing
Company,
LLC,
Term
Loan
180,000
0.000%, 
(LIBOR
1M
+
3.500%),
4/1/2028
b,c,d
179,100
CP
Atlas
Buyer,
Inc.,
Term
Loan
760,000
4.250%, 
(LIBOR
2M
+
3.750%),
11/23/2027
b
754,422
Golden
Entertainment,
Inc.,
Term
Loan
1,992,725
3.750%, 
(LIBOR
1M
+
3.000%),
10/20/2024
b
1,962,834
Golden
Nugget,
LLC,
Term
Loan
586,700
3.250%, 
(LIBOR
2M
+
2.500%),
10/4/2023
b
576,873
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
1,142,138
3.750%, 
(LIBOR
1M
+
3.000%),
10/19/2027
b
1,140,059
LCPR
Loan
Financing,
LLC,
Term
Loan
800,000
0.000%, 
(LIBOR
3M
+
3.750%),
10/23/2026
b,c,d
801,000
Michaels
Stores,
Inc.,
Term
Loan
830,825
4.250%, 
(LIBOR
1M
+
3.500%),
10/1/2027
b
829,579
Penn
National
Gaming,
Inc.,
Term
Loan
1,024,472
3.000%, 
(LIBOR
1M
+
2.250%),
10/15/2025
b
1,018,868
Scientific
Games
International,
Inc.,
Term
Loan
3,763,356
2.859%, 
(LIBOR
1M
+
2.750%),
8/14/2024
b
3,687,825
Staples,
Inc.,
Term
Loan
198,931
4.705%, 
(LIBOR
3M
+
4.500%),
9/12/2024
b
195,367
675,017
5.205%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
657,581
Stars
Group
Holdings
BV,
Term
Loan
1,016,162
3.703%, 
(LIBOR
3M
+
3.500%),
7/10/2025
b
1,016,732
Tenneco,
Inc.,
Term
Loan
877,561
3.109%, 
(LIBOR
1M
+
3.000%),
10/1/2025
b
853,647
Truck
Hero,
Inc.,
Term
Loan
210,000
4.500%, 
(LIBOR
1M
+
3.750%),
2/24/2028
b
209,330
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
628,875
1.859%, 
(LIBOR
1M
+
1.750%),
5/30/2025
b
621,712
Total
18,053,900
Consumer
Non-Cyclical
(0.4%)
Adient
US,
LLC,
Term
Loan
701,430
4.380%, 
(LIBOR
1M
+
4.250%),
5/6/2024
b
700,554
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
262
Principal
Amount
Bank
Loans
(2.0%)
a
Value
Consumer
Non-Cyclical
(0.4%)
-
continued
Bausch
Health
Americas,
Inc.,
Term
Loan
$
1,684,786
3.109%, 
(LIBOR
1M
+
3.000%),
6/1/2025
b
$
1,678,401
Bellring
Brands,
LLC,
Term
Loan
862,966
4.750%, 
(LIBOR
1M
+
4.000%),
10/21/2024
b
866,918
Chobani,
LLC,
Term
Loan
452,725
4.500%, 
(LIBOR
1M
+
3.500%),
10/23/2027
b
452,046
CNT
Holdings
I
Corporation,
Term
Loan
590,000
4.500%, 
(LIBOR
3M
+
3.750%),
11/8/2027
b
588,342
165,000
7.500%, 
(LIBOR
3M
+
6.750%),
11/6/2028
b,e
166,650
Dole
Food
Company,
Inc.,
Term
Loan
1,175,840
3.754%, 
(LIBOR
1M
+
2.750%),
4/6/2024
b
1,174,699
Endo
Luxembourg
Finance
Company,
Term
Loan
1,410,000
0.000%, 
(LIBOR
1M
+
5.000%),
3/25/2028
b,c,d
1,394,137
Gainwell
Acquistion
Corporation,
Term
Loan
1,620,000
0.000%, 
(LIBOR
1M
+
4.000%),
10/1/2027
b,c,d
1,611,900
Global
Medical
Response,
Inc.,
Term
Loan
2,972,550
5.750%, 
(LIBOR
3M
+
4.750%),
10/2/2025
b
2,960,660
MPH
Acquisition
Holdings,
LLC,
Term
Loan
2,608,790
3.750%, 
(LIBOR
3M
+
2.750%),
6/7/2023
b
2,593,085
Ortho-Clinical
Diagnostics
SA,
Term
Loan
1,769,454
3.359%, 
(LIBOR
1M
+
3.250%),
6/30/2025
b
1,765,473
Petco
Health
&
Wellness
Company,
Inc.,
Term
Loan
1,040,000
0.000%, 
(LIBOR
1M
+
3.250%),
3/4/2028
b,c,d
1,035,289
PetSmart,
Inc.,
Term
Loan
1,465,000
4.500%, 
(LIBOR
3M
+
3.750%),
2/12/2028
b
1,461,630
Plantronics,
Inc.,
Term
Loan
347,036
2.650%, 
(LIBOR
1M
+
2.500%),
7/2/2025
b
342,080
Precision
Medicine
Group,
LLC,
Delayed
Draw
120,000
0.000%, 
(LIBOR
1M
+
3.000%),
11/20/2027
b,c,d
119,026
Precision
Medicine
Group,
LLC,
Term
Loan
917,700
3.750%, 
(LIBOR
3M
+
3.750%),
11/20/2027
b
910,248
Sotera
Health
Holdings,
LLC,
Term
Loan
607,000
3.250%, 
(LIBOR
3M
+
2.750%),
12/13/2026
b
604,724
Total
20,425,862
Principal
Amount
Bank
Loans
(2.0%)
a
Value
Energy
(<0.1%)
Calpine
Corporation,
Term
Loan
$
1,142,137
2.610%, 
(LIBOR
1M
+
2.500%),
12/16/2027
b
$
1,134,188
Energizer
Holdings,
Inc.,
Term
Loan
256,667
2.750%, 
(LIBOR
1M
+
2.250%),
12/22/2027
b
255,276
Lealand
Finance
Company
BV,
Term
Loan
251,507
0.000%,PIK
3.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b,f
136,651
Total
1,526,115
Financials
(0.1%)
Asurion,
LLC,
Term
Loan
1,266,825
3.359%, 
(LIBOR
1M
+
3.250%),
12/23/2026
b
1,258,008
445,000
3.359%, 
(LIBOR
1M
+
3.250%),
8/3/2027
b,c,d
441,569
820,000
5.359%, 
(LIBOR
1M
+
5.250%),
2/3/2028
b
834,350
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
557,274
2.500%, 
(LIBOR
1M
+
1.750%),
1/15/2025
b
554,939
Digicel
International
Finance,
Ltd.,
Term
Loan
758,037
3.510%, 
(LIBOR
3M
+
3.250%),
5/27/2024
b
718,869
MoneyGram
International,
Inc.,
Term
Loan
835,125
7.000%, 
(LIBOR
3M
+
6.000%),
6/30/2023
b
834,708
Newco
Financing
Partnership,
Term
Loan
172,500
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,c,d
171,946
Northriver
Midstream
Finance,
LP,
Term
Loan
819,520
3.488%, 
(LIBOR
3M
+
3.250%),
10/1/2025
b
807,359
Tronox
Finance,
LLC,
Term
Loan
765,000
2.648%, 
(LIBOR
3M
+
2.500%),
3/11/2028
b
760,379
UPC
Financing
Partnership,
Term
Loan
172,500
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,c,d
171,946
Total
6,554,073
Technology
(0.2%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
1,011,199
3.712%, 
(LIBOR
3M
+
3.500%),
8/21/2026
b
969,912
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
2,220,000
3.609%, 
(LIBOR
1M
+
3.500%),
6/30/2027
b
2,207,968
Prime
Security
Services
Borrower,
LLC,
Term
Loan
2,765,000
3.500%, 
(LIBOR
1M
+
2.750%),
9/23/2026
b
2,752,032
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
263
Principal
Amount
Bank
Loans
(2.0%)
a
Value
Technology
(0.2%)
-
continued
Rackspace
Technology
Global,
Inc.,
Term
Loan
$
1,780,000
3.500%, 
(LIBOR
3M
+
2.750%),
2/9/2028
b
$
1,762,752
SS&C
Technologies,
Inc.,
Term
Loan
67,090
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,c,d
66,314
51,465
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,c,d
50,870
Verscend
Holding
Corporation,
Term
Loan
405,000
0.000%, 
(LIBOR
1M
+
4.000%),
8/27/2025
b,c,d
404,542
Zayo
Group
Holdings,
Inc.,
Term
Loan
1,905,316
0.000%, 
(LIBOR
1M
+
3.000%),
3/9/2027
b
1,888,606
Total
10,102,996
Transportation
(0.1%)
American
Airlines,
Inc.,
Term
Loan
2,130,000
0.000%, 
(LIBOR
1M
+
4.750%),
3/24/2028
b,c,d
2,179,927
Genesee
&
Wyoming,
Inc.,
Term
Loan
1,188,000
2.203%, 
(LIBOR
3M
+
2.000%),
12/30/2026
b
1,183,177
Mileage
Plus
Holdings,
LLC,
Term
Loan
655,000
6.250%, 
(LIBOR
3M
+
5.250%),
6/20/2027
b
695,223
SkyMiles
IP,
Ltd.,
Term
Loan
745,000
4.750%, 
(LIBOR
3M
+
3.750%),
10/20/2027
b
781,505
United
Airlines,
Inc.,
Term
Loan
888,432
1.865%, 
(LIBOR
1M
+
1.750%),
4/1/2024
b
861,619
Total
5,701,451
Utilities
(0.1%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
204,756
2.375%, 
(LIBOR
1M
+
2.250%),
9/24/2026
b
204,756
Core
and
Main,
LP,
Term
Loan
1,263,834
3.750%, 
(LIBOR
3M
+
2.750%),
8/1/2024
b
1,257,768
EnergySolutions,
LLC,
Term
Loan
724,513
4.750%, 
(LIBOR
3M
+
3.750%),
5/11/2025
b
719,984
Exgen
Renewables
IV,
LLC,
Term
Loan
1,172,062
3.750%, 
(LIBOR
3M
+
3.000%),
12/11/2027
b,c,d
1,172,555
PG&E
Corporation,
Term
Loan
1,581,018
3.500%, 
(LIBOR
3M
+
3.000%),
6/23/2025
b
1,577,555
Principal
Amount
Bank
Loans
(2.0%)
a
Value
Utilities
(0.1%)
-
continued
Talen
Energy
Supply,
LLC,
Term
Loan
$
515,763
3.859%, 
(LIBOR
1M
+
3.750%),
7/8/2026
b
$
500,290
Total
5,432,908
Total
Bank
Loans
(cost
$112,425,531)
112,399,030
Principal
Amount
Long-Term
Fixed
Income
(
36.7%
)
Value
Asset-Backed
Securities
(2.2%)
522
Funding
CLO,
Ltd.
2,300,000
1.824%, 
(LIBOR
3M
+
1.600%),
4/20/2030,
Ser.
2019-4A,
Class
BR
b,g
2,300,002
Access
Group,
Inc.
429,729
0.609%, 
(LIBOR
1M
+
0.500%),
2/25/2036,
Ser.
2013-1,
Class
A
b,g
425,583
Aimco
CLO
10,
Ltd.
2,150,000
1.542%, 
(LIBOR
3M
+
1.320%),
7/22/2032,
Ser.
2019-10A,
Class
A
b,g
2,151,204
Aimco
CLO
11,
Ltd.
3,475,000
1.605%, 
(LIBOR
3M
+
1.380%),
10/15/2031,
Ser.
2020-11A,
Class
A1
b,g
3,481,262
Ares
CLO,
Ltd.
3,000,000
1.623%, 
(LIBOR
3M
+
1.400%),
10/17/2030,
Ser.
2018-28RA,
Class
A2
b,g
3,000,261
Ares
XXXIIR
CLO,
Ltd.
1,500,000
1.134%, 
(LIBOR
3M
+
0.940%),
5/15/2030,
Ser.
2014-32RA,
Class
A1A
b,g
1,500,016
2,600,000
2.194%, 
(LIBOR
3M
+
2.000%),
5/15/2030,
Ser.
2014-32RA,
Class
A2BR
b,g
2,601,508
Buttermilk
Park
CLO,
Ltd.
5,250,000
1.641%, 
(LIBOR
3M
+
1.400%),
10/15/2031,
Ser.
2018-1A,
Class
A2
b,g
5,250,357
Carlyle
Global
Market
Strategies
CLO,
Ltd.
3,425,000
1.691%, 
(LIBOR
3M
+
1.450%),
7/15/2031,
Ser.
2014-5A,
Class
A2RR
b,g
3,425,161
CarVal
CLO
II,
Ltd.
2,125,000
1.694%, 
(LIBOR
3M
+
1.500%),
4/20/2032,
Ser.
2019-1A,
Class
BR
b,g
2,124,913
1,225,000
2.194%, 
(LIBOR
3M
+
2.000%),
4/20/2032,
Ser.
2019-1A,
Class
CR
b,g
1,221,939
CBAM,
Ltd.
3,500,000
1.521%, 
(LIBOR
3M
+
1.280%),
2/12/2030,
Ser.
2019-9A,
Class
A
b,g
3,500,136
Cent
CLO,
LP
775,000
2.518%, 
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
b,g
775,117
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
264
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Asset-Backed
Securities
(2.2%)
-
continued
CIFC
Funding,
Ltd.
$
1,225,000
1.805%, 
(LIBOR
3M
+
1.600%),
10/20/2031,
Ser.
2020-3A,
Class
A2
b,g
$
1,228,015
Colony
American
Finance
Trust
3,310,050
2.835%, 
6/15/2052,
Ser.
2019-2,
Class
A
g
3,481,672
Commonbond
Student
Loan
Trust
585,946
0.609%, 
(LIBOR
1M
+
0.500%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,g
581,964
CoreVest
American
Finance
Trust
3,442,444
2.705%, 
10/15/2052,
Ser.
2019-3,
Class
A
g
3,586,169
Dryden
36
Senior
Loan
Fund
1,800,000
2.291%, 
(LIBOR
3M
+
2.050%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,g
1,800,126
Dryden
Senior
Loan
Fund
3,000,000
1.623%, 
(LIBOR
3M
+
1.400%),
7/18/2030,
Ser.
2018-65A,
Class
A2
b,g
3,000,276
Earnest
Student
Loan
Program
2016-D,
LLC
278,006
2.720%, 
1/25/2041,
Ser.
2016-D,
Class
A2
g
278,673
Earnest
Student
Loan
Program,
LLC
259,167
3.020%, 
5/25/2034,
Ser.
2016-B,
Class
A2
g
259,483
ECMC
Group
Student
Loan
Trust
1,544,691
1.259%, 
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
b,g
1,560,464
Flatiron
CLO,
Ltd.
1,225,000
1.998%, 
(LIBOR
3M
+
1.750%),
11/20/2033,
Ser.
2020-1A,
Class
B
b,g
1,231,812
Galaxy
XIX
CLO,
Ltd.
1,650,000
2.033%, 
(LIBOR
3M
+
1.850%),
7/24/2030,
Ser.
2015-19A,
Class
BRR
b,g
1,650,170
Galaxy
XX
CLO,
Ltd.
2,650,000
1.224%, 
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-20A,
Class
AR
b,g
2,646,547
Golub
Capital
Partners,
Ltd.
1,750,000
1.404%, 
(LIBOR
3M
+
1.180%),
1/20/2031,
Ser.
2015-22A,
Class
AR
b,g
1,745,984
2,569,000
1.424%, 
(LIBOR
3M
+
1.200%),
1/20/2031,
Ser.
2015-23A,
Class
AR
b,g
2,563,908
Goodgreen
2,469,432
3.860%, 
10/15/2054,
Ser.
2019-1A,
Class
A
g
2,591,694
Home
Partners
of
America
Trust
3,755,685
2.908%, 
9/17/2039,
Ser.
2019-1,
Class
A
g
3,801,851
3,667,375
2.703%, 
10/19/2039,
Ser.
2019-2,
Class
A
g
3,708,964
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Asset-Backed
Securities
(2.2%)
-
continued
Laurel
Road
Prime
Student
Loan
Trust
$
633,400
2.810%, 
11/25/2042,
Ser.
2017-C,
Class
A2B
g
$
643,454
1,702,712
5.600%, 
11/25/2043,
Ser.
2018-D,
Class
A
b,g
1,764,982
Madison
Park
Funding
XIV,
Ltd.
2,375,000
1.622%, 
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,g
2,375,107
Madison
Park
Funding,
Ltd.
2,100,000
2.300%, 
(LIBOR
3M
+
2.100%),
1/20/2029,
Ser.
2012-10A,
Class
CR3
b,g
2,100,183
Magnetite
XII,
Ltd.
2,600,000
1.341%, 
(LIBOR
3M
+
1.100%),
10/15/2031,
Ser.
2015-12A,
Class
ARR
b,g
2,600,146
Mercury
Financial
Credit
Card
Master
Trust
1,800,000
1.540%, 
3/20/2026,
Ser.
2021-1A,
Class
A
g
1,800,272
Mountain
View
CLO,
Ltd.
1,825,000
1.361%, 
(LIBOR
3M
+
1.120%),
7/15/2031,
Ser.
2015-9A,
Class
A1R
b,g
1,821,806
MRA
Issuance
Trust
4,350,000
1.456%, 
(LIBOR
1M
+
1.350%),
7/15/2021,
Ser.
2020-12,
Class
A1X
b,g
4,350,789
National
Collegiate
Trust
1,050,026
0.404%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,g
1,031,084
Neuberger
Berman
CLO,
Ltd.
1,000,000
1.252%, 
(LIBOR
3M
+
1.030%),
4/22/2029,
Ser.
2014-17A,
Class
AR2
b,g
1,000,211
Octagon
Investment
Partners
32,
Ltd.
2,600,000
2.235%, 
(LIBOR
3M
+
2.050%),
7/15/2029,
Ser.
2017-1A,
Class
CR
b,d,g
2,600,000
1,150,000
2.491%, 
(LIBOR
3M
+
2.250%),
7/15/2029,
Ser.
2017-1A,
Class
C
b,g
1,150,123
Octagon
Investment
Partners
XVI,
Ltd.
600,000
1.623%, 
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2013-1A,
Class
A2R
b,g
600,049
OZLM
IX,
Ltd.
1,250,000
1.774%, 
(LIBOR
3M
+
1.550%),
10/20/2031,
Ser.
2014-9A,
Class
A1BR
b,g
1,250,231
OZLM
VIII,
Ltd.
818,558
1.393%, 
(LIBOR
3M
+
1.170%),
10/17/2029,
Ser.
2014-8A,
Class
A1RR
b,g
818,617
Palmer
Square
CLO,
Ltd.
2,500,000
2.241%, 
(LIBOR
3M
+
2.000%),
5/21/2029,
Ser.
2015-1A,
Class
BR3
b,g
2,493,495
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
265
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Asset-Backed
Securities
(2.2%)
-
continued
Palmer
Square
Loan
Funding,
Ltd.
$
1,757,271
1.074%, 
(LIBOR
3M
+
0.850%),
1/20/2027,
Ser.
2018-5A,
Class
A1
b,g
$
1,757,405
1,700,000
1.874%, 
(LIBOR
3M
+
1.650%),
4/20/2027,
Ser.
2019-1A,
Class
A2
b,g
1,700,229
Pretium
Mortgage
Credit
Partners,
LLC
1,952,160
3.721%, 
2/27/2060,
Ser.
2020-NPL2,
Class
A1
g,h
1,969,109
Progress
Residential
Trust
1,998,027
3.422%, 
8/17/2035,
Ser.
2019-SFR1,
Class
A
g
2,042,260
Saxon
Asset
Securities
Trust
860,035
3.672%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
830,715
Shackleton
CLO,
Ltd.
1,750,000
1.411%, 
(LIBOR
3M
+
1.170%),
7/15/2031,
Ser.
2015-7RA,
Class
A1
b,g
1,750,024
SLM
Student
Loan
Trust
1,000,872
0.509%, 
(LIBOR
1M
+
0.400%),
3/25/2025,
Ser.
2010-1,
Class
A
b
983,959
Sound
Point
CLO
XIV,
Ltd.
2,600,000
2.221%, 
(LIBOR
3M
+
2.050%),
1/23/2029,
Ser.
2016-3A,
Class
CR
b,g
2,591,189
Sound
Point
CLO
XV,
Ltd.
2,600,000
2.235%, 
(LIBOR
3M
+
2.050%),
1/23/2029,
Ser.
2017-1A,
Class
CR
b,d,g
2,600,000
Sound
Point
CLO
XXI,
Ltd.
1,525,000
1.665%, 
(LIBOR
3M
+
1.450%),
10/26/2031,
Ser.
2018-3A,
Class
A1B
b,g
1,525,137
THL
Credit
Wind
River
CLO,
Ltd.
950,000
1.654%, 
(LIBOR
3M
+
1.430%),
10/20/2033,
Ser.
2020-1A,
Class
A
b,g
954,142
U.S.
Small
Business
Administration
52,865
3.191%, 
3/10/2024,
Ser.
2014-10A,
Class
1
54,410
Upstart
Securitization
Trust
1,566,568
1.702%, 
11/20/2030,
Ser.
2020-3,
Class
A
g
1,578,945
VCAT
Asset
Securitization,
LLC
1,150,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
g,h
1,147,622
Vericrest
Opportunity
Loan
Trust
2,650,000
4.336%, 
2/25/2050,
Ser.
2020-NPL2,
Class
A2
g,h
2,632,975
Voya
CLO,
Ltd.
1,497,661
1.441%, 
(LIBOR
3M
+
1.200%),
10/15/2030,
Ser.
2012-4A,
Class
A1AR
b,g
1,497,682
Whitebox
CLO
II,
Ltd.
1,350,000
2.492%, 
(LIBOR
3M
+
2.250%),
10/24/2031,
Ser.
2020-2A,
Class
B
b,g
1,352,835
Total
122,844,418
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Basic
Materials
(0.4%)
Air
Products
and
Chemicals,
Inc.
$
1,150,000
2.700%, 
5/15/2040
$
1,099,984
Alcoa
Nederland
Holding
BV
540,000
5.500%, 
12/15/2027
g
581,256
Anglo
American
Capital
plc
720,000
4.875%, 
5/14/2025
g
813,185
BWAY
Holding
Company
490,000
5.500%, 
4/15/2024
g
496,737
Chemours
Company
290,000
5.750%, 
11/15/2028
g
305,345
Cleveland-Cliffs,
Inc.
360,000
5.875%, 
6/1/2027
372,600
230,000
4.625%, 
3/1/2029
g
229,609
230,000
4.875%, 
3/1/2031
g
229,425
Consolidated
Energy
Finance
SA
410,000
6.875%, 
6/15/2025
g
417,687
Dow
Chemical
Company
600,000
4.800%, 
11/30/2028
703,649
DowDuPont,
Inc.
620,000
4.493%, 
11/15/2025
700,695
First
Quantum
Minerals,
Ltd.
725,000
7.500%, 
4/1/2025
g
748,562
Freeport-McMoRan,
Inc.
490,000
4.125%, 
3/1/2028
515,088
520,000
4.250%, 
3/1/2030
553,800
Glencore
Funding,
LLC
160,000
4.125%, 
5/30/2023
g
171,099
1,064,000
4.000%, 
3/27/2027
g
1,172,601
Hecla
Mining
Company
175,000
7.250%, 
2/15/2028
187,688
Hudbay
Minerals,
Inc.
410,000
4.500%, 
4/1/2026
g
426,117
Ingevity
Corporation
610,000
3.875%, 
11/1/2028
g
591,700
International
Paper
Company
1,420,000
4.350%, 
8/15/2048
1,641,218
Kinross
Gold
Corporation
470,000
5.950%, 
3/15/2024
528,648
900,000
4.500%, 
7/15/2027
1,013,698
Kraton
Polymers,
LLC
540,000
4.250%, 
12/15/2025
g
542,025
Mercer
International,
Inc.
400,000
5.125%, 
2/1/2029
g
414,400
Norbord,
Inc.
430,000
5.750%, 
7/15/2027
g
458,294
Novelis
Corporation
380,000
5.875%, 
9/30/2026
g
396,625
210,000
4.750%, 
1/30/2030
g
216,447
OCI
NV
600,000
4.625%, 
10/15/2025
g
620,250
Olin
Corporation
805,000
5.125%, 
9/15/2027
833,175
Steel
Dynamics,
Inc.
1,225,000
1.650%, 
10/15/2027
1,199,371
Syngenta
Finance
NV
1,200,000
3.933%, 
4/23/2021
g
1,202,217
Teck
Resources,
Ltd.
964,000
6.125%, 
10/1/2035
1,181,787
Tronox
Finance
plc
320,000
5.750%, 
10/1/2025
g
333,802
United
States
Steel
Corporation
650,000
6.875%, 
3/1/2029
664,625
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
266
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Basic
Materials
(0.4%)
-
continued
Vale
Overseas,
Ltd.
$
840,000
6.250%, 
8/10/2026
$
999,180
401,000
6.875%, 
11/21/2036
532,955
Venator
Finance
SARL
420,000
5.750%, 
7/15/2025
g
407,400
Total
23,502,944
Capital
Goods
(0.6%)
AECOM
860,000
5.125%, 
3/15/2027
935,787
Amsted
Industries,
Inc.
465,000
5.625%, 
7/1/2027
g
493,481
Ardagh
Packaging
Finance
plc
360,000
6.000%, 
2/15/2025
g
370,980
280,000
5.250%, 
8/15/2027
g
285,622
BAE
Systems
plc
1,450,000
1.900%, 
2/15/2031
g
1,360,607
Boeing
Company
500,000
5.930%, 
5/1/2060
641,563
750,000
5.040%, 
5/1/2027
855,051
600,000
5.150%, 
5/1/2030
691,047
1,250,000
5.705%, 
5/1/2040
1,529,658
Bombardier,
Inc.
410,000
7.500%, 
3/15/2025
g
403,337
410,000
7.875%, 
4/15/2027
g
402,083
Brand
Industrial
Services,
Inc.
205,000
8.500%, 
7/15/2025
g
206,599
BWAY
Holding
Company
420,000
7.250%, 
4/15/2025
g
420,000
Carrier
Global
Corporation
714,000
3.577%, 
4/5/2050
701,145
875,000
2.700%, 
2/15/2031
874,738
Cintas
Corporation
No.
2
840,000
3.700%, 
4/1/2027
932,770
CNH
Industrial
NV
700,000
3.850%, 
11/15/2027
774,071
Cornerstone
Building
Brands,
Inc.
560,000
6.125%, 
1/15/2029
g
596,400
Covanta
Holding
Corporation
430,000
6.000%, 
1/1/2027
448,813
135,000
5.000%, 
9/1/2030
136,350
CP
Atlas
Buyer,
Inc.
380,000
7.000%, 
12/1/2028
g
399,399
Crown
Cork
&
Seal
Company,
Inc.
630,000
7.375%, 
12/15/2026
758,363
Emerson
Electric
Company
1,150,000
1.800%, 
10/15/2027
1,154,492
GFL
Environmental,
Inc.
150,000
4.000%, 
8/1/2028
g
145,125
405,000
3.500%, 
9/1/2028
g
392,850
H&E
Equipment
Services,
Inc.
450,000
3.875%, 
12/15/2028
g
437,625
Howmet
Aerospace,
Inc.
520,000
6.875%, 
5/1/2025
602,550
Ingersoll-Rand
Luxembourg
Finance
SA
625,000
3.500%, 
3/21/2026
678,421
Jeld-Wen,
Inc.
500,000
4.625%, 
12/15/2025
g
506,250
L3Harris
Technologies,
Inc.
1,656,000
3.950%, 
5/28/2024
1,797,155
Lockheed
Martin
Corporation
1,024,000
4.500%, 
5/15/2036
1,235,684
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Capital
Goods
(0.6%)
-
continued
$
284,000
6.150%, 
9/1/2036
$
395,716
Meritor,
Inc.
290,000
4.500%, 
12/15/2028
g
290,870
NESCO
Holdings
II,
Inc.
135,000
5.500%, 
4/15/2029
d,g
138,483
Northrop
Grumman
Corporation
1,960,000
3.850%, 
4/15/2045
2,109,129
Owens-Brockway
Glass
Container,
Inc.
370,000
5.875%, 
8/15/2023
g
396,363
Raytheon
Technologies
Corporation
714,000
4.125%, 
11/16/2028
804,059
Republic
Services,
Inc.
850,000
2.900%, 
7/1/2026
906,466
Roper
Technologies,
Inc.
564,000
4.200%, 
9/15/2028
635,441
750,000
1.750%, 
2/15/2031
696,445
SRM
Escrow
Issuer,
LLC
505,000
6.000%, 
11/1/2028
g
529,240
Standard
Industries,
Inc.
750,000
4.375%, 
7/15/2030
g
756,750
Textron,
Inc.
710,000
3.375%, 
3/1/2028
746,270
Titan
Acquisition,
Ltd.
180,000
7.750%, 
4/15/2026
g
186,966
TransDigm,
Inc.
370,000
6.250%, 
3/15/2026
g
392,274
1,130,000
5.500%, 
11/15/2027
1,169,697
110,000
4.625%, 
1/15/2029
g
108,466
United
Rentals
North
America,
Inc.
570,000
4.875%, 
1/15/2028
600,421
360,000
4.000%, 
7/15/2030
366,390
United
Technologies
Corporation
775,000
4.450%, 
11/16/2038
897,894
1,000,000
3.750%, 
11/1/2046
1,065,839
Waste
Pro
USA,
Inc.
205,000
5.500%, 
2/15/2026
g
209,869
WESCO
Distribution,
Inc.
430,000
7.250%, 
6/15/2028
g
480,050
Total
35,051,114
Collateralized
Mortgage
Obligations
(1.4%)
Alternative
Loan
Trust
812,703
6.000%, 
8/1/2036,
Ser.
2006-24CB,
Class
A9
649,483
Bellemeade
Re,
Ltd.
448,038
1.709%, 
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,g
448,178
605,574
1.209%, 
(LIBOR
1M
+
1.100%),
7/25/2029,
Ser.
2019-3A,
Class
M1A
b,g
605,821
2,000,000
1.767%, 
(SOFR30A
+
1.750%),
3/25/2031,
Ser.
2021-1A,
Class
M1A
b,g
1,999,470
BRAVO
Residential
Funding
Trust
275,971
3.500%, 
3/25/2058,
Ser.
2019-1,
Class
A1C
g
283,674
Citicorp
Mortgage
Securities,
Inc.
1,757,509
6.000%, 
7/25/2037,
Ser.
2007-6,
Class
1A4
1,749,926
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
267
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Collateralized
Mortgage
Obligations
(1.4%)
-
continued
Countrywide
Alternative
Loan
Trust
$
797,029
2.746%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
b
$
764,586
577,492
6.500%, 
8/25/2036,
Ser.
2006-23CB,
Class
2A3
302,106
1,234,008
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
651,164
Countrywide
Home
Loans,
Inc.
248,194
5.750%, 
4/25/2037,
Ser.
2007-3,
Class
A27
180,238
Credit
Suisse
Mortgage
Trust
2,491,924
3.850%, 
9/25/2057,
Ser.
2018-RPL9,
Class
A1
b,g
2,642,448
5,891,705
3.471%, 
2/25/2060,
Ser.
2020-RPL2,
Class
A12
b,g
5,960,408
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
91,063
6.000%, 
10/25/2021,
Ser.
2006-AR5,
Class
23A
79,894
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
25,529,404
2.000%, 
11/25/2050,
Ser.
5038,
Class
NI
i
3,264,177
1,156,227
4.000%, 
7/15/2031,
Ser.
4104,
Class
KI
i
60,516
2,213,531
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
i
229,421
2,392,235
3.000%, 
3/15/2033,
Ser.
4180,
Class
PI
i
276,561
Federal
National
Mortgage
Association
35,069,096
1.500%, 
11/25/2035,
Ser.
2020-99,
Class
IG
i
1,963,470
Federal
National
Mortgage
Association
-
REMIC
4,325,238
3.000%, 
12/25/2027,
Ser.
2012-137,
Class
AI
i
247,534
Foundation
Finance
Trust
2,250,000
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
g
2,236,915
FWD
Securitization
Trust
1,895,323
2.810%, 
6/25/2049,
Ser.
2019-INV1,
Class
A1
b,g
1,962,129
Galton
Funding
Mortgage
Trust
2017-1
619,006
4.500%, 
10/25/2058,
Ser.
2018-2,
Class
A41
b,g
625,662
GS
Mortgage-Backed
Securities
Trust
584,651
2.625%, 
1/25/2059,
Ser.
2019-SL1,
Class
A1
b,g
593,692
Legacy
Mortgage
Asset
Trust
543,122
3.250%, 
2/25/2060,
Ser.
2020-GS4,
Class
A1
g,h
549,253
LHOME
Mortgage
Trust
2,200,000
2.090%, 
9/25/2026,
Ser.
2021-RTL1,
Class
A1
b,g
2,198,583
MASTR
Alternative
Loans
Trust
1,019,816
0.559%, 
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
b
150,133
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Collateralized
Mortgage
Obligations
(1.4%)
-
continued
Merrill
Lynch
Alternative
Note
Asset
Trust
$
221,707
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
$
137,961
MRA
Issuance
Trust
1,700,000
1.853%, 
(LIBOR
1M
+
1.750%),
10/8/2021,
Ser.
2021-EBO1,
Class
A1X
b,e,g
1,700,000
4,300,000
1.259%, 
(LIBOR
1M
+
1.150%),
10/15/2021,
Ser.
2021-8,
Class
A1X
b,e,g
4,300,000
New
York
Mortgage
Trust
2,121,983
2.944%, 
10/25/2060,
Ser.
2020-SP2,
Class
A1
b,g
2,130,156
Oak
Street
Investment
1,789,537
1.850%, 
11/20/2050,
Ser.
2020-1A,
Class
A1
g
1,796,774
Preston
Ridge
Partners
Mortgage
Trust,
LLC
1,781,181
3.500%, 
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,g
1,795,935
2,185,952
2.115%, 
1/25/2026,
Ser.
2021-1,
Class
A1
b,g
2,185,705
Pretium
Mortgage
Credit
Partners,
LLC
1,400,000
2.240%, 
9/27/2060,
Ser.
2021-NPL1,
Class
A1
e,g,h
1,400,000
RCO
Mortgage,
LLC
3,217,532
3.475%, 
11/25/2024,
Ser.
2019-2,
Class
A1
g,h
3,235,662
Renaissance
Home
Equity
Loan
Trust
2,217,341
5.580%, 
11/25/2036,
Ser.
2006-3,
Class
AF2
h
1,175,731
Residential
Accredit
Loans,
Inc.
Trust
824,187
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
805,846
274,872
5.750%, 
9/25/2035,
Ser.
2005-QS13,
Class
2A3
273,504
Residential
Asset
Securitization
Trust
2,088,084
5.375%, 
7/25/2035,
Ser.
2005-A8CB,
Class
A9
1,774,602
Sequoia
Mortgage
Trust
900,191
3.114%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
b
700,614
Silver
Hill
Trust
1,044,369
3.102%, 
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,g
1,080,711
Starwood
Mortgage
Residential
Trust
689,952
2.718%, 
4/25/2060,
Ser.
2020-2,
Class
A1
b,g
701,747
Toorak
Mortgage
Corporation
2,450,000
4.458%, 
3/25/2022,
Ser.
2019-1,
Class
A1
g,h
2,476,611
Vericrest
Opportunity
Loan
Transferee
1,783,961
1.893%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A1
g,h
1,774,559
1,214,237
2.240%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A1
g,h
1,213,299
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
268
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Collateralized
Mortgage
Obligations
(1.4%)
-
continued
$
1,300,000
4.949%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A2
g,h
$
1,294,854
2,041,260
2.116%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A1
g,h
2,039,015
1,375,000
4.826%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A2
g,h
1,371,734
1,400,000
4.949%, 
3/27/2051,
Ser.
2021-NPL4,
Class
A2
g,h
1,396,430
1,400,000
4.949%, 
4/25/2051,
Ser.
2021-NPL7,
Class
A2
e,g,h
1,400,000
Verus
Securitization
Trust
779,553
3.345%, 
5/25/2059,
Ser.
2019-2,
Class
A2
b,g
781,183
1,890,531
2.913%, 
7/25/2059,
Ser.
2019-INV2,
Class
A1
b,g
1,926,349
1,516,889
2.947%, 
11/25/2059,
Ser.
2019-INV3,
Class
A2
b,g
1,544,597
1,215,734
1.977%, 
3/25/2060,
Ser.
2020-INV1,
Class
A1
b,g
1,233,776
3,747,563
3.626%, 
4/25/2060,
Ser.
2020-3,
Class
A1
b,g
3,816,341
WaMu
Mortgage
Pass
Through
Certificates
145,747
3.017%, 
9/25/2036,
Ser.
2006-AR10,
Class
1A2
b
141,966
141,486
3.035%, 
10/25/2036,
Ser.
2006-AR12,
Class
1A1
b
141,832
Total
78,422,936
Commercial
Mortgage-Backed
Securities
(0.2%)
BBCMS
Mortgage
Trust
14,577,409
1.852%, 
10/15/2053,
Ser.
2020-C8,
Class
XA
b,i
1,973,722
BFLD
Trust
2,250,000
1.256%, 
(LIBOR
1M
+
1.150%),
10/15/2035,
Ser.
2020-EYP,
Class
A
b,g
2,269,816
825,000
1.806%, 
(LIBOR
1M
+
1.700%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,g
833,251
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
980,044
3.000%, 
3/15/2045,
Ser.
4741,
Class
GA
1,013,777
GS
Mortgage
Securities
Trust
4,000,000
3.666%, 
9/10/2047,
Ser.
2014-GC24,
Class
A4
4,260,768
Morgan
Stanley
Capital
I
Trust
14,876,294
1.973%, 
7/15/2053,
Ser.
2020-HR8,
Class
XA
b,i
2,030,111
Total
12,381,445
Communications
Services
(1.1%)
AMC
Networks,
Inc.
500,000
4.250%, 
2/15/2029
486,250
American
Tower
Corporation
700,000
2.900%, 
1/15/2030
711,586
1,150,000
2.100%, 
6/15/2030
1,094,332
AT&T,
Inc.
1,129,000
3.500%, 
9/15/2053
g
1,043,349
1,200,000
2.300%, 
6/1/2027
1,226,411
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Communications
Services
(1.1%)
-
continued
$
1,550,000
4.350%, 
3/1/2029
$
1,753,327
1,100,000
5.250%, 
3/1/2037
1,327,125
1,090,000
4.900%, 
8/15/2037
1,290,115
450,000
5.550%, 
8/15/2041
560,186
CCO
Holdings,
LLC
570,000
5.500%, 
5/1/2026
g
587,841
640,000
5.125%, 
5/1/2027
g
676,682
770,000
4.750%, 
3/1/2030
g
797,912
510,000
4.500%, 
8/15/2030
g
519,792
Cengage
Learning,
Inc.
600,000
9.500%, 
6/15/2024
g,j
611,250
Charter
Communications
Operating,
LLC
700,000
4.500%, 
2/1/2024
765,618
900,000
4.200%, 
3/15/2028
992,058
1,225,000
3.500%, 
6/1/2041
1,161,769
1,320,000
6.484%, 
10/23/2045
1,718,655
Clear
Channel
Worldwide
Holdings,
Inc.
515,000
7.750%, 
4/15/2028
g
509,335
Comcast
Corporation
850,000
4.049%, 
11/1/2052
960,510
750,000
3.950%, 
10/15/2025
837,855
1,250,000
4.250%, 
10/15/2030
1,436,287
690,000
4.400%, 
8/15/2035
806,928
1,115,000
4.750%, 
3/1/2044
1,370,377
550,000
4.600%, 
8/15/2045
664,938
Consolidated
Communications,
Inc.
250,000
5.000%, 
10/1/2028
g
251,950
Cox
Communications,
Inc.
875,000
3.350%, 
9/15/2026
g
944,089
Crown
Castle
International
Corporation
836,000
3.200%, 
9/1/2024
897,753
CSC
Holdings,
LLC
960,000
5.375%, 
2/1/2028
g
1,009,200
80,000
4.125%, 
12/1/2030
g
79,462
Cumulus
Media
New
Holdings,
Inc.
380,000
6.750%, 
7/1/2026
g,j
387,125
Discovery
Communications,
LLC
1,420,000
4.900%, 
3/11/2026
1,618,133
DISH
DBS
Corporation
360,000
7.375%, 
7/1/2028
377,658
Embarq
Corporation
295,000
7.995%, 
6/1/2036
339,902
Entercom
Media
Corporation
360,000
6.500%, 
5/1/2027
g,j
372,150
Fox
Corporation
680,000
3.500%, 
4/8/2030
723,451
Front
Range
BidCo,
Inc.
500,000
4.000%, 
3/1/2027
g
491,250
380,000
6.125%, 
3/1/2028
g
389,975
Frontier
Communications
Corporation
320,000
5.875%, 
10/15/2027
g
339,200
135,000
6.750%, 
5/1/2029
g
142,384
GCI,
LLC
400,000
4.750%, 
10/15/2028
g
409,500
Hughes
Satellite
Systems
Corporation
270,000
6.625%, 
8/1/2026
299,187
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
269
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Communications
Services
(1.1%)
-
continued
iHeartCommunications,
Inc.
$
390,000
4.750%, 
1/15/2028
g
$
392,925
LCPR
Senior
Secured
Financing
DAC
360,000
6.750%, 
10/15/2027
g
383,814
Level
3
Financing,
Inc.
765,000
4.625%, 
9/15/2027
g
787,315
740,000
4.250%, 
7/1/2028
g
748,369
Ligado
Networks,
LLC
205,000
0.000%,PIK
15.500%,
11/1/2023
e,f,g
192,079
Meredith
Corporation
440,000
6.500%, 
7/1/2025
g
472,067
Netflix,
Inc.
980,000
4.875%, 
4/15/2028
1,108,625
Nexstar
Escrow
Corporation
550,000
5.625%, 
7/15/2027
g
576,466
Nielsen
Finance,
LLC
470,000
5.625%, 
10/1/2028
g
494,087
Omnicom
Group,
Inc.
530,000
3.600%, 
4/15/2026
580,790
330,000
4.200%, 
6/1/2030
371,367
Radiate
Holdco,
LLC
235,000
6.500%, 
9/15/2028
g
248,148
Scripps
Escrow
II,
Inc.
290,000
3.875%, 
1/15/2029
g
284,925
215,000
5.375%, 
1/15/2031
g
213,387
SFR
Group
SA
930,000
7.375%, 
5/1/2026
g
967,293
Sinclair
Television
Group,
Inc.
610,000
5.500%, 
3/1/2030
g
593,225
Sirius
XM
Radio,
Inc.
610,000
5.000%, 
8/1/2027
g
639,920
Sprint
Capital
Corporation
460,000
6.875%, 
11/15/2028
580,046
430,000
8.750%, 
3/15/2032
635,863
Sprint
Corporation
1,255,000
7.625%, 
2/15/2025
1,496,588
Terrier
Media
Buyer,
Inc.
310,000
8.875%, 
12/15/2027
g
333,576
Time
Warner
Entertainment
Company,
LP
800,000
8.375%, 
3/15/2023
917,099
T-Mobile
USA,
Inc.
1,100,000
3.750%, 
4/15/2027
g
1,202,476
505,000
2.875%, 
2/15/2031
488,083
900,000
4.375%, 
4/15/2040
g
999,954
United
States
Cellular
Corporation
360,000
6.700%, 
12/15/2033
436,028
Uniti
Group,
LP
205,000
6.500%, 
2/15/2029
g
202,438
Univision
Communications,
Inc.
740,000
6.625%, 
6/1/2027
g
790,265
VeriSign,
Inc.
310,000
4.750%, 
7/15/2027
328,988
Verizon
Communications,
Inc.
714,000
3.700%, 
3/22/2061
705,516
476,000
2.100%, 
3/22/2028
477,995
3,054,000
4.272%, 
1/15/2036
3,451,887
1,450,000
2.650%, 
11/20/2040
1,325,084
Viacom,
Inc.
840,000
5.850%, 
9/1/2043
1,072,855
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Communications
Services
(1.1%)
-
continued
ViaSat,
Inc.
$
590,000
5.625%, 
9/15/2025
g
$
599,711
Vodafone
Group
plc
625,000
4.875%, 
6/19/2049
742,616
VTR
Finance
NV
270,000
6.375%, 
7/15/2028
g,j
291,600
Walt
Disney
Company
1,200,000
2.200%, 
1/13/2028
1,226,198
1,650,000
2.650%, 
1/13/2031
1,684,213
1,400,000
3.500%, 
5/13/2040
1,480,347
Ziggo
BV
562,000
5.500%, 
1/15/2027
g
585,183
Total
64,092,268
Consumer
Cyclical
(1.0%)
1011778
B.C.,
ULC
640,000
4.375%, 
1/15/2028
g
643,021
Allied
Universal
Holdco,
LLC
440,000
6.625%, 
7/15/2026
g
466,611
Allison
Transmission,
Inc
590,000
3.750%, 
1/30/2031
g
571,562
Amazon.com,
Inc.
1,420,000
3.875%, 
8/22/2037
1,627,010
852,000
4.050%, 
8/22/2047
997,169
American
Axle
&
Manufacturing,
Inc.
660,000
6.500%, 
4/1/2027
j
684,750
American
Honda
Finance
Corporation
200,000
2.150%, 
9/10/2024
208,477
Brookfield
Residential
Properties,
Inc.
900,000
6.250%, 
9/15/2027
g
939,375
Caesars
Entertainment,
Inc.
135,000
8.125%, 
7/1/2027
g
148,871
Carnival
Corporation
430,000
11.500%, 
4/1/2023
g
492,887
300,000
10.500%, 
2/1/2026
g
352,875
150,000
7.625%, 
3/1/2026
g
161,145
470,000
5.750%, 
3/1/2027
g
482,337
Cedar
Fair,
LP
490,000
5.250%, 
7/15/2029
503,666
Cinemark
USA,
Inc.
480,000
5.875%, 
3/15/2026
g
491,491
Clarios
Global,
LP
205,000
8.500%, 
5/15/2027
g
220,631
Colt
Merger
Sub,
Inc.
900,000
6.250%, 
7/1/2025
g
959,413
CVS
Health
Corporation
1,200,000
3.625%, 
4/1/2027
1,317,085
D.R.
Horton,
Inc.
550,000
2.600%, 
10/15/2025
578,488
Dana,
Inc.
425,000
5.625%, 
6/15/2028
454,750
Empire
Communities
Corporation
430,000
7.000%, 
12/15/2025
g
453,112
Ford
Motor
Company
250,000
9.000%, 
4/22/2025
302,779
140,000
9.625%, 
4/22/2030
195,376
495,000
7.450%, 
7/16/2031
624,111
Ford
Motor
Credit
Company,
LLC
1,420,000
4.063%, 
11/1/2024
1,489,651
1,100,000
4.134%, 
8/4/2025
1,150,517
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
270
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Consumer
Cyclical
(1.0%)
-
continued
Gap,
Inc.
$
280,000
8.625%, 
5/15/2025
g
$
313,530
General
Motors
Company
1,200,000
6.125%, 
10/1/2025
1,411,090
1,150,000
6.800%, 
10/1/2027
1,426,647
General
Motors
Financial
Company,
Inc.
560,000
3.950%, 
4/13/2024
602,694
Hanesbrands,
Inc.
585,000
4.875%, 
5/15/2026
g
627,412
Herc
Holdings,
Inc.
350,000
5.500%, 
7/15/2027
g
372,470
Hilton
Domestic
Operating
Company,
Inc.
1,080,000
4.875%, 
1/15/2030
1,145,664
Home
Depot,
Inc.
555,000
5.400%, 
9/15/2040
735,258
840,000
4.250%, 
4/1/2046
988,518
700,000
3.900%, 
6/15/2047
786,724
Hyundai
Capital
America
750,000
1.250%, 
9/18/2023
g
755,424
1,000,000
1.800%, 
1/10/2028
g
956,223
International
Game
Technology
plc
445,000
5.250%, 
1/15/2029
g
464,135
KB
Home
490,000
4.800%, 
11/15/2029
513,275
Kohl's
Corporation
715,000
9.500%, 
5/15/2025
927,085
715,000
5.550%, 
7/17/2045
j
810,041
L
Brands,
Inc.
600,000
6.625%, 
10/1/2030
g
685,080
140,000
6.875%, 
11/1/2035
166,851
Landry's,
Inc.
460,000
6.750%, 
10/15/2024
g
465,138
Lennar
Corporation
700,000
4.875%, 
12/15/2023
764,631
1,225,000
4.750%, 
5/30/2025
1,364,344
Levi
Strauss
&
Company
590,000
3.500%, 
3/1/2031
g
569,350
Live
Nation
Entertainment,
Inc.
290,000
3.750%, 
1/15/2028
g
286,012
Marriott
International,
Inc.
710,000
5.750%, 
5/1/2025
814,720
Mastercard,
Inc.
830,000
3.950%, 
2/26/2048
939,089
Mattamy
Group
Corporation
620,000
5.250%, 
12/15/2027
g
648,675
McDonald's
Corporation
1,200,000
2.125%, 
3/1/2030
1,171,636
1,115,000
4.450%, 
3/1/2047
1,295,870
MGM
Resorts
International
1,015,000
6.000%, 
3/15/2023
1,087,319
Owl
Rock
Capital
Corporation
1,250,000
3.400%, 
7/15/2026
1,266,099
PetSmart,
Inc.
320,000
4.750%, 
2/15/2028
g
327,267
350,000
7.750%, 
2/15/2029
g
378,857
Prime
Security
Services
Borrower,
LLC
1,000,000
5.750%, 
4/15/2026
g
1,082,050
Real
Hero
Merger
Sub
2,
Inc.
310,000
6.250%, 
2/1/2029
g
320,075
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Consumer
Cyclical
(1.0%)
-
continued
Realogy
Group,
LLC
$
500,000
5.750%, 
1/15/2029
g
$
493,125
Rite
Aid
Corporation
205,000
7.500%, 
7/1/2025
g
212,944
Royal
Caribbean
Cruises,
Ltd.
590,000
9.125%, 
6/15/2023
g
650,139
210,000
11.500%, 
6/1/2025
g
244,912
220,000
5.500%, 
4/1/2028
g
221,100
Scientific
Games
International,
Inc.
650,000
5.000%, 
10/15/2025
g
673,205
490,000
7.250%, 
11/15/2029
g
531,650
SeaWorld
Parks
and
Entertainment,
Inc.
290,000
9.500%, 
8/1/2025
g
315,179
Six
Flags
Entertainment
Corporation
265,000
5.500%, 
4/15/2027
g,j
274,606
Six
Flags
Theme
Parks,
Inc.
270,000
7.000%, 
7/1/2025
g
291,938
Staples,
Inc.
710,000
7.500%, 
4/15/2026
g
748,873
Target
Corporation
1,000,000
2.250%, 
4/15/2025
1,047,714
Tenneco,
Inc.
290,000
5.000%, 
7/15/2026
j
273,325
TJX
Companies,
Inc.
675,000
3.875%, 
4/15/2030
751,564
Uber
Technologies,
Inc.
310,000
6.250%, 
1/15/2028
g
337,652
ViacomCBS,
Inc.
1,200,000
4.200%, 
5/19/2032
1,341,365
Visa,
Inc.
1,150,000
2.700%, 
4/15/2040
1,126,231
Vista
Outdoor,
Inc.
500,000
4.500%, 
3/15/2029
g
494,728
Walmart,
Inc.
825,000
3.250%, 
7/8/2029
902,532
Wyndham
Destinations,
Inc.
350,000
6.625%, 
7/31/2026
g
397,373
Wyndham
Hotels
&
Resorts,
Inc.
215,000
4.375%, 
8/15/2028
g
217,473
Yum!
Brands,
Inc.
500,000
4.750%, 
1/15/2030
g
528,650
ZF
North
America
Capital,
Inc.
290,000
4.750%, 
4/29/2025
g
311,324
Total
55,374,015
Consumer
Non-Cyclical
(1.4%)
Abbott
Laboratories
1,000,000
4.750%, 
11/30/2036
1,237,426
AbbVie,
Inc.
675,000
2.950%, 
11/21/2026
718,660
1,250,000
4.300%, 
5/14/2036
1,441,002
450,000
4.850%, 
6/15/2044
546,660
560,000
4.700%, 
5/14/2045
663,248
1,500,000
4.875%, 
11/14/2048
1,806,614
Albertson's
Companies,
Inc.
390,000
7.500%, 
3/15/2026
g
430,800
715,000
3.500%, 
3/15/2029
g
680,423
Altria
Group,
Inc.
952,000
5.800%, 
2/14/2039
1,161,706
Amgen,
Inc.
1,200,000
3.375%, 
2/21/2050
1,199,493
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
271
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Consumer
Non-Cyclical
(1.4%)
-
continued
Anheuser-Busch
Companies,
LLC
$
1,740,000
4.700%, 
2/1/2036
$
2,038,355
Anheuser-Busch
InBev
Worldwide,
Inc.
1,875,000
4.750%, 
4/15/2058
2,161,192
1,350,000
4.375%, 
4/15/2038
1,534,460
150,000
4.600%, 
4/15/2048
171,717
Anthem,
Inc.
900,000
3.125%, 
5/15/2050
858,821
725,000
4.625%, 
5/15/2042
856,020
Aramark
Services,
Inc.
280,000
6.375%, 
5/1/2025
g,j
296,800
AstraZeneca
plc
1,000,000
1.375%, 
8/6/2030
917,223
BAT
Capital
Corporation
1,486,000
4.540%, 
8/15/2047
1,496,235
Bausch
Health
Companies,
Inc.
170,000
5.000%, 
1/30/2028
g
172,125
650,000
5.000%, 
2/15/2029
g
645,531
Baxalta,
Inc.
569,000
4.000%, 
6/23/2025
630,702
Becton,
Dickinson
and
Company
650,000
3.794%, 
5/20/2050
690,590
214,000
3.734%, 
12/15/2024
233,758
865,000
3.700%, 
6/6/2027
954,111
Campbell
Soup
Company
345,000
2.375%, 
4/24/2030
337,430
Cargill,
Inc.
525,000
3.250%, 
5/23/2029
g
562,923
Centene
Corporation
210,000
4.250%, 
12/15/2027
220,894
420,000
4.625%, 
12/15/2029
454,568
580,000
3.000%, 
10/15/2030
579,037
Central
Garden
&
Pet
Company
500,000
4.125%, 
10/15/2030
505,000
Cigna
Corporation
1,325,000
4.800%, 
8/15/2038
1,583,637
Clorox
Company
1,180,000
3.100%, 
10/1/2027
1,279,385
Community
Health
Systems,
Inc.
205,000
5.625%, 
3/15/2027
g
214,737
290,000
6.000%, 
1/15/2029
g
306,675
540,000
6.875%, 
4/15/2029
g
565,310
Conagra
Brands,
Inc.
935,000
4.300%, 
5/1/2024
1,031,030
Constellation
Brands,
Inc.
1,120,000
3.600%, 
2/15/2028
1,218,015
475,000
2.875%, 
5/1/2030
485,343
CVS
Health
Corporation
2,545,000
4.875%, 
7/20/2035
2,994,696
DaVita,
Inc.
680,000
4.625%, 
6/1/2030
g
692,825
DENTSPLY
SIRONA,
Inc.
375,000
3.250%, 
6/1/2030
392,084
Edgewell
Personal
Care
Company
290,000
5.500%, 
6/1/2028
g
306,240
Encompass
Health
Corporation
770,000
4.500%, 
2/1/2028
788,572
Endo
Finance,
LLC
275,000
9.500%, 
7/31/2027
g
298,719
Energizer
Holdings,
Inc.
455,000
4.750%, 
6/15/2028
g
469,219
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Consumer
Non-Cyclical
(1.4%)
-
continued
General
Mills,
Inc.
$
550,000
2.875%, 
4/15/2030
$
567,797
H.
J.
Heinz
Company
140,000
5.200%, 
7/15/2045
161,918
HCA,
Inc.
1,750,000
5.375%, 
2/1/2025
1,952,151
1,200,000
5.500%, 
6/15/2047
1,492,553
HLF
Financing
SARL,
LLC
420,000
7.250%, 
8/15/2026
g
439,950
Illumina,
Inc.
490,000
9.000%, 
7/1/2028
g
551,397
Imperial
Brands
Finance
plc
1,200,000
3.875%, 
7/26/2029
g
1,275,980
JBS
Investments
II
GmbH
130,000
5.750%, 
1/15/2028
g
137,150
JBS
USA,
LLC
630,000
5.500%, 
1/15/2030
g
697,249
Keurig
Dr
Pepper,
Inc.
710,000
3.350%, 
3/15/2051
707,143
Keurig
Dr.
Pepper,
Inc.
875,000
3.200%, 
5/1/2030
925,861
Kimberly-Clark
Corporation
650,000
3.100%, 
3/26/2030
700,243
710,000
3.900%, 
5/4/2047
815,510
Kraft
Foods
Group,
Inc.
670,000
5.000%, 
6/4/2042
754,019
Kraft
Heinz
Foods
Company
1,090,000
4.625%, 
1/30/2029
1,223,343
740,000
3.750%, 
4/1/2030
785,397
Mattel,
Inc.
475,000
3.375%, 
4/1/2026
g
490,409
Medtronic,
Inc.
80,000
4.625%, 
3/15/2045
100,886
Molina
Healthcare,
Inc.
490,000
4.375%, 
6/15/2028
g
504,190
Mondelez
International,
Inc.
350,000
2.750%, 
4/13/2030
357,328
MPH
Acquisition
Holdings,
LLC
320,000
5.750%, 
11/1/2028
g,j
312,000
Mylan,
Inc.
1,250,000
4.550%, 
4/15/2028
1,411,619
Ortho-Clinical
Diagnostics,
Inc.
310,000
7.250%, 
2/1/2028
g
339,655
Par
Pharmaceutical,
Inc.
660,000
7.500%, 
4/1/2027
g
700,029
Pilgrim's
Pride
Corporation
290,000
5.875%, 
9/30/2027
g
310,793
Quest
Diagnostics,
Inc.
1,200,000
2.800%, 
6/30/2031
1,219,710
Reynolds
American,
Inc.
952,000
5.700%, 
8/15/2035
1,129,123
Roche
Holdings,
Inc.
768,000
4.000%, 
11/28/2044
g
901,469
Royalty
Pharma
plc
1,025,000
3.550%, 
9/2/2050
g
976,774
Scotts
Miracle-Gro
Company
720,000
4.500%, 
10/15/2029
742,284
SEG
Holding,
LLC
560,000
5.625%, 
10/15/2028
g
586,600
Simmons
Foods,
Inc.
290,000
4.625%, 
3/1/2029
g
292,543
Smithfield
Foods,
Inc.
820,000
2.650%, 
10/3/2021
g
826,158
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
272
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Consumer
Non-Cyclical
(1.4%)
-
continued
Spectrum
Brands,
Inc.
$
250,000
5.000%, 
10/1/2029
g
$
263,750
210,000
5.500%, 
7/15/2030
g
224,700
Syneos
Health,
Inc.
450,000
3.625%, 
1/15/2029
g
437,625
Sysco
Corporation
1,200,000
6.600%, 
4/1/2040
1,674,037
Teleflex,
Inc.
630,000
4.250%, 
6/1/2028
g
652,837
Tenet
Healthcare
Corporation
350,000
4.625%, 
7/15/2024
357,241
970,000
5.125%, 
11/1/2027
g
1,014,329
205,000
6.125%, 
10/1/2028
g
213,969
Teva
Pharmaceutical
Finance
Netherlands
III
BV
690,000
2.800%, 
7/21/2023
686,930
Thermo
Fisher
Scientific,
Inc.
720,000
4.133%, 
3/25/2025
799,522
Tyson
Foods,
Inc.
560,000
3.550%, 
6/2/2027
611,431
United
Natural
Foods,
Inc.
420,000
6.750%, 
10/15/2028
g
448,875
UnitedHealth
Group,
Inc.
1,400,000
2.950%, 
10/15/2027
1,502,774
970,000
4.625%, 
7/15/2035
1,184,271
VRX
Escrow
Corporation
1,585,000
6.125%, 
4/15/2025
g
1,624,942
Zoetis,
Inc.
670,000
4.700%, 
2/1/2043
808,430
Total
75,724,905
Energy
(1.0%)
Antero
Midstream
Partners,
LP
220,000
5.750%, 
3/1/2027
g
220,048
Antero
Resources
Corporation
405,000
5.000%, 
3/1/2025
j
405,312
Apache
Corporation
460,000
4.375%, 
10/15/2028
458,620
350,000
5.100%, 
9/1/2040
342,125
Archrock
Partners,
LP
480,000
6.250%, 
4/1/2028
g
487,584
BP
Capital
Markets
America,
Inc.
1,450,000
2.939%, 
6/4/2051
1,293,233
500,000
3.543%, 
4/6/2027
547,263
Buckeye
Partners,
LP
200,000
4.125%, 
3/1/2025
g
204,058
480,000
3.950%, 
12/1/2026
474,461
Canadian
Natural
Resources,
Ltd.
340,000
2.050%, 
7/15/2025
343,805
430,000
2.950%, 
7/15/2030
428,888
Cenovus
Energy,
Inc.
180,000
5.375%, 
7/15/2025
202,287
Centennial
Resource
Production,
LLC
420,000
6.875%, 
4/1/2027
g,j
373,800
Cheniere
Energy
Partners,
LP
1,025,000
5.625%, 
10/1/2026
1,071,842
Chevron
USA,
Inc.
1,250,000
5.050%, 
11/15/2044
1,585,603
Cimarex
Energy
Company
960,000
4.375%, 
6/1/2024
1,044,067
CNX
Resources
Corporation
265,000
6.000%, 
1/15/2029
g
275,383
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Energy
(1.0%)
-
continued
Comstock
Resources,
Inc.
$
320,000
9.750%, 
8/15/2026
$
347,200
ConocoPhillips
1,400,000
6.500%, 
2/1/2039
1,998,201
Continental
Resources,
Inc.
61,000
4.500%, 
4/15/2023
63,178
220,000
4.375%, 
1/15/2028
j
231,330
290,000
5.750%, 
1/15/2031
g
327,659
Diamondback
Energy,
Inc.
975,000
3.500%, 
12/1/2029
1,011,902
El
Paso
Pipeline
Partners
Operating
Company,
LLC
140,000
4.300%, 
5/1/2024
153,798
Enagas
SA
640,000
5.500%, 
1/15/2028
g
625,056
Encana
Corporation
220,000
6.625%, 
8/15/2037
264,564
Endeavor
Energy
Resources,
LP
310,000
5.750%, 
1/30/2028
g
327,459
Energean
Israel
Finance,
Ltd.
415,000
4.500%, 
3/30/2024
g
417,108
Energy
Transfer
Operating,
LP
1,340,000
6.000%, 
6/15/2048
1,541,439
Energy
Transfer
Partners,
LP
765,000
4.900%, 
3/15/2035
806,611
600,000
5.150%, 
2/1/2043
612,903
EnLink
Midstream
Partners,
LP
440,000
4.850%, 
7/15/2026
425,053
265,000
5.600%, 
4/1/2044
219,950
EOG
Resources,
Inc.
875,000
4.375%, 
4/15/2030
1,004,514
EQM
Midstream
Partners,
LP
500,000
6.500%, 
7/1/2027
g
543,625
210,000
6.500%, 
7/15/2048
209,475
EQT
Corporation
645,000
3.900%, 
10/1/2027
657,900
Equinor
ASA
625,000
3.000%, 
4/6/2027
669,319
Exxon
Mobil
Corporation
1,200,000
3.452%, 
4/15/2051
1,211,822
Genesis
Energy,
LP
220,000
6.500%, 
10/1/2025
215,655
Harvest
Midstream,
LP
530,000
7.500%, 
9/1/2028
g
569,591
Hess
Midstream
Operations,
LP
350,000
5.625%, 
2/15/2026
g
360,500
Hilcorp
Energy
I,
LP
430,000
5.750%, 
2/1/2029
g
433,762
Kinder
Morgan
Energy
Partners,
LP
1,400,000
6.500%, 
9/1/2039
1,812,536
Magellan
Midstream
Partners,
LP
750,000
5.000%, 
3/1/2026
859,688
Marathon
Oil
Corporation
900,000
4.400%, 
7/15/2027
990,737
Marathon
Petroleum
Corporation
680,000
4.750%, 
12/15/2023
746,859
636,000
6.500%, 
3/1/2041
845,528
MPLX,
LP
600,000
4.875%, 
12/1/2024
673,444
830,000
4.875%, 
6/1/2025
934,867
Murphy
Oil
Corporation
240,000
5.875%, 
12/1/2027
235,200
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
273
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Energy
(1.0%)
-
continued
Nabors
Industries,
Ltd.
$
345,000
7.250%, 
1/15/2026
g
$
286,350
National
Fuel
Gas
Company
975,000
5.500%, 
1/15/2026
1,114,271
Newfield
Exploration
Company
570,000
5.625%, 
7/1/2024
626,616
560,000
5.375%, 
1/1/2026
617,134
NGL
Energy
Operating,
LLC
290,000
7.500%, 
2/1/2026
g
297,975
NGL
Energy
Partners,
LP
290,000
7.500%, 
11/1/2023
279,850
NuStar
Logistics,
LP
500,000
5.750%, 
10/1/2025
535,260
Occidental
Petroleum
Corporation
860,000
2.900%, 
8/15/2024
850,574
630,000
3.400%, 
4/15/2026
611,730
130,000
8.500%, 
7/15/2027
154,050
525,000
3.500%, 
8/15/2029
492,608
280,000
6.450%, 
9/15/2036
309,053
710,000
4.400%, 
4/15/2046
608,072
ONEOK,
Inc.
860,000
2.200%, 
9/15/2025
875,630
Ovintiv,
Inc.
140,000
7.375%, 
11/1/2031
178,079
PBF
Holding
Company,
LLC
415,000
9.250%, 
5/15/2025
g
423,694
Pioneer
Natural
Resources
Company
500,000
4.450%, 
1/15/2026
562,800
Plains
All
American
Pipeline,
LP
1,000,000
4.500%, 
12/15/2026
1,097,248
710,000
3.550%, 
12/15/2029
707,912
Range
Resources
Corporation
210,000
9.250%, 
2/1/2026
228,169
220,000
8.250%, 
1/15/2029
g
235,400
Sabine
Pass
Liquefaction,
LLC
1,140,000
5.750%, 
5/15/2024
1,286,316
Schlumberger
Holdings
Corporation
880,000
4.000%, 
12/21/2025
g
973,504
Southwestern
Energy
Company
470,000
7.500%, 
4/1/2026
j
497,269
Suncor
Energy,
Inc.
780,000
3.600%, 
12/1/2024
848,054
Sunoco
Logistics
Partners
Operations,
LP
700,000
4.000%, 
10/1/2027
752,809
Sunoco,
LP
385,000
5.875%, 
3/15/2028
402,953
Targa
Resources
Partners,
LP
210,000
5.375%, 
2/1/2027
217,784
150,000
5.000%, 
1/15/2028
156,188
Teine
Energy,
Ltd.
410,000
6.875%, 
4/15/2029
d,g
414,961
Transocean
Guardian,
Ltd.
293,625
5.875%, 
1/15/2024
g
256,922
Transocean
Proteus,
Ltd.
165,000
6.250%, 
12/1/2024
g
156,750
USA
Compression
Partners,
LP
210,000
6.875%, 
4/1/2026
215,381
Vine
Energy
Holdings,
LLC
275,000
6.750%, 
4/15/2029
d,g
275,000
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Energy
(1.0%)
-
continued
W&T
Offshore,
Inc.
$
465,000
9.750%, 
11/1/2023
g
$
411,386
Weatherford
International,
Ltd.
430,000
8.750%, 
9/1/2024
g
449,823
350,000
11.000%, 
12/1/2024
g
336,000
Western
Gas
Partners,
LP
1,120,000
4.000%, 
7/1/2022
1,148,028
Western
Midstream
Operating,
LP
210,000
4.350%, 
2/1/2025
217,350
440,000
3.950%, 
6/1/2025
451,884
230,000
5.500%, 
8/15/2048
226,348
Williams
Companies,
Inc.
900,000
7.500%, 
1/15/2031
1,191,936
Williams
Partners,
LP
710,000
4.500%, 
11/15/2023
773,182
WPX
Energy,
Inc.
959,000
4.500%, 
1/15/2030
1,032,642
Total
55,891,757
Financials
(2.2%)
ACE
INA
Holdings,
Inc.
737,000
4.350%, 
11/3/2045
871,999
AerCap
Ireland
Capital
DAC
980,000
3.500%, 
1/15/2025
1,027,664
950,000
3.875%, 
1/23/2028
995,440
Aircastle,
Ltd.
565,000
5.000%, 
4/1/2023
602,208
1,000,000
2.850%, 
1/26/2028
g
956,722
Ally
Financial,
Inc.
530,000
5.750%, 
11/20/2025
602,121
American
International
Group,
Inc.
705,000
3.750%, 
7/10/2025
769,793
810,000
3.900%, 
4/1/2026
894,467
Ares
Capital
Corporation
975,000
3.875%, 
1/15/2026
1,027,544
450,000
2.150%, 
7/15/2026
438,221
Australia
and
New
Zealand
Banking
Group,
Ltd.
500,000
2.950%, 
7/22/2030
b,g
516,755
750,000
2.570%, 
11/25/2035
b,g
704,955
Aviation
Capital
Group,
LLC
1,135,000
2.875%, 
1/20/2022
g
1,151,451
Avolon
Holdings
Funding,
Ltd.
700,000
5.250%, 
5/15/2024
g
756,089
250,000
4.250%, 
4/15/2026
g
261,854
Banco
Santander
Mexico
SA
675,000
5.375%, 
4/17/2025
g
757,890
Banco
Santander
SA
1,200,000
1.344%, 
(LIBOR
3M
+
1.120%),
4/12/2023
b
1,216,876
Bank
of
America
Corporation
1,000,000
4.200%, 
8/26/2024
1,102,955
830,000
4.000%, 
1/22/2025
908,941
1,450,000
3.458%, 
3/15/2025
b
1,556,966
1,210,000
3.824%, 
1/20/2028
b
1,329,320
1,200,000
2.496%, 
2/13/2031
b
1,188,952
700,000
2.592%, 
4/29/2031
b
698,539
1,250,000
1.922%, 
10/24/2031
b
1,176,332
1,200,000
4.244%, 
4/24/2038
b
1,365,087
Barclays
Bank
plc
264,000
10.179%, 
6/12/2021
g
268,533
Barclays
plc
1,185,000
4.972%, 
5/16/2029
b
1,362,561
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
274
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Financials
(2.2%)
-
continued
$
1,250,000
3.564%, 
9/23/2035
b
$
1,251,800
BPCE
SA
860,000
3.500%, 
10/23/2027
g
930,262
Burford
Capital
Global
Finance,
LLC
245,000
6.250%, 
4/15/2028
d,g
251,125
Camden
Property
Trust
1,500,000
3.150%, 
7/1/2029
1,586,340
CANPACK
SA
540,000
3.125%, 
11/1/2025
g
548,100
Capital
One
Financial
Corporation
1,000,000
4.200%, 
10/29/2025
1,106,830
Cascades
USA,
Inc.
370,000
5.125%, 
1/15/2026
g
392,662
Chobani,
LLC
580,000
4.625%, 
11/15/2028
g
591,600
CIT
Group,
Inc.
230,000
5.250%, 
3/7/2025
259,037
Citigroup,
Inc.
1,240,000
4.400%, 
6/10/2025
1,377,916
620,000
3.200%, 
10/21/2026
666,239
1,404,000
3.668%, 
7/24/2028
b
1,535,446
415,000
4.125%, 
7/25/2028
459,250
700,000
3.520%, 
10/27/2028
b
757,183
828,000
4.650%, 
7/23/2048
1,016,012
CNA
Financial
Corporation
450,000
3.900%, 
5/1/2029
496,138
Commerzbank
AG
1,400,000
8.125%, 
9/19/2023
g
1,601,740
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
810,000
3.950%, 
11/9/2022
852,858
1,330,000
4.625%, 
12/1/2023
1,457,566
Credit
Acceptance
Corporation
450,000
5.125%, 
12/31/2024
g
459,000
Credit
Agricole
SA
850,000
3.250%, 
1/14/2030
g
873,810
Credit
Suisse
Group
AG
775,000
7.250%, 
9/12/2025
b,g,k
840,720
1,375,000
2.193%, 
6/5/2026
b,g
1,397,357
Danske
Bank
AS
900,000
3.244%, 
12/20/2025
b,g
958,275
Deutsche
Bank
AG
850,000
3.547%, 
9/18/2031
b
877,699
950,000
3.729%, 
1/14/2032
b
921,151
Discover
Bank
600,000
2.450%, 
9/12/2024
628,044
1,410,000
4.682%, 
8/9/2028
b
1,503,906
Drawbridge
Special
Opportunities
Fund,
LP
600,000
3.875%, 
2/15/2026
g
615,454
Duke
Realty,
LP
700,000
2.875%, 
11/15/2029
718,360
ERP
Operating,
LP
267,000
3.375%, 
6/1/2025
289,309
ESH
Hospitality,
Inc.
440,000
5.250%, 
5/1/2025
g
448,800
220,000
4.625%, 
10/1/2027
g
232,681
Fidelity
National
Financial,
Inc.
1,125,000
5.500%, 
9/1/2022
1,201,194
First
Horizon
National
Corporation
1,375,000
4.000%, 
5/26/2025
1,509,004
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Financials
(2.2%)
-
continued
Fortress
Transportation
$
290,000
6.500%, 
10/1/2025
g
$
303,050
GE
Capital
Funding,
LLC
2,675,000
4.400%, 
5/15/2030
g
3,028,508
GE
Capital
International
Funding
Company
1,615,000
4.418%, 
11/15/2035
1,848,787
Global
Net
Lease,
Inc.
415,000
3.750%, 
12/15/2027
g
404,511
Goldman
Sachs
Group,
Inc.
1,000,000
3.625%, 
2/20/2024
1,076,150
230,000
1.992%, 
1/27/2032
b
218,280
460,000
4.750%, 
10/21/2045
566,568
HCP,
Inc.
520,000
3.400%, 
2/1/2025
558,763
Healthpeak
Properties,
Inc.
675,000
2.875%, 
1/15/2031
680,485
HSBC
Holdings
plc
1,075,000
6.875%, 
6/1/2021
b,k
1,084,352
1,525,000
3.803%, 
3/11/2025
b
1,646,771
1,040,000
3.900%, 
5/25/2026
1,146,746
1,100,000
4.950%, 
3/31/2030
1,284,339
Icahn
Enterprises,
LP
885,000
6.375%, 
12/15/2025
913,762
iStar,
Inc.
430,000
4.250%, 
8/1/2025
432,967
J.P.
Morgan
Chase
&
Company
1,200,000
3.875%, 
9/10/2024
1,315,564
565,000
3.125%, 
1/23/2025
605,331
725,000
1.040%, 
2/4/2027
b
707,118
1,350,000
4.203%, 
7/23/2029
b
1,527,232
700,000
2.522%, 
4/22/2031
b
698,526
975,000
1.953%, 
2/4/2032
b
924,068
1,475,000
3.882%, 
7/24/2038
b
1,636,806
Kimco
Realty
Corporation
1,072,000
3.300%, 
2/1/2025
1,148,587
Liberty
Mutual
Group,
Inc.
294,000
4.950%, 
5/1/2022
g
307,605
Lloyds
Banking
Group
plc
1,500,000
3.870%, 
7/9/2025
b
1,632,391
LPL
Holdings,
Inc.
340,000
4.000%, 
3/15/2029
g
342,550
MGM
Growth
Properties
Operating
Partnership,
LP
300,000
4.625%, 
6/15/2025
g
316,410
260,000
5.750%, 
2/1/2027
286,633
Mitsubishi
UFJ
Financial
Group,
Inc.
1,420,000
3.287%, 
7/25/2027
1,548,218
1,350,000
2.048%, 
7/17/2030
1,299,358
Mizuho
Financial
Group,
Inc.
1,250,000
1.979%, 
9/8/2031
b
1,178,928
Morgan
Stanley
560,000
4.051%, 
(LIBOR
3M
+
3.810%),
4/15/2021
b,k
560,000
475,000
2.188%, 
4/28/2026
b
490,785
1,350,000
4.350%, 
9/8/2026
1,525,305
1,704,000
3.591%, 
7/22/2028
b
1,857,676
1,250,000
3.622%, 
4/1/2031
b
1,357,181
700,000
2.802%, 
1/25/2052
b
644,326
MPT
Operating
Partnership,
LP
385,000
4.625%, 
8/1/2029
405,032
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
275
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Financials
(2.2%)
-
continued
Nasdaq,
Inc.
$
575,000
3.250%, 
4/28/2050
$
540,528
Nationwide
Building
Society
650,000
3.622%, 
4/26/2023
b,g
670,458
Natwest
Group
plc
750,000
3.032%, 
11/28/2035
b
715,560
NFP
Corporation
180,000
6.875%, 
8/15/2028
g
186,750
Omega
Healthcare
Investors,
Inc.
725,000
3.375%, 
2/1/2031
719,104
Park
Aerospace
Holdings,
Ltd.
700,000
4.500%, 
3/15/2023
g
731,066
PennyMac
Financial
Services,
Inc.
360,000
4.250%, 
2/15/2029
g
344,250
Playtika
Holding
Corporation
140,000
4.250%, 
3/15/2029
g
137,928
Prudential
Financial,
Inc.
900,000
3.700%, 
3/13/2051
952,756
Quicken
Loans,
LLC
340,000
3.625%, 
3/1/2029
g
327,250
Realty
Income
Corporation
1,120,000
4.125%, 
10/15/2026
1,266,831
450,000
1.800%, 
3/15/2033
413,232
Regency
Centers,
LP
1,180,000
4.125%, 
3/15/2028
1,289,797
Reinsurance
Group
of
America,
Inc.
965,000
4.700%, 
9/15/2023
1,057,052
Royal
Bank
of
Scotland
Group
plc
875,000
6.000%, 
12/29/2025
b,k
960,050
850,000
4.445%, 
5/8/2030
b
946,713
Service
Properties
Trust
360,000
4.500%, 
6/15/2023
365,710
170,000
4.750%, 
10/1/2026
165,750
290,000
5.500%, 
12/15/2027
306,743
Societe
Generale
SA
840,000
4.750%, 
11/24/2025
g
932,772
Springleaf
Finance
Corporation
680,000
6.875%, 
3/15/2025
773,449
410,000
6.625%, 
1/15/2028
464,657
Sumitomo
Mitsui
Financial
Group,
Inc.
840,000
3.010%, 
10/19/2026
897,001
700,000
1.710%, 
1/12/2031
650,431
Synchrony
Financial
330,000
4.250%, 
8/15/2024
358,976
825,000
3.950%, 
12/1/2027
888,901
UBS
Group
Funding
Jersey,
Ltd.
768,000
4.125%, 
9/24/2025
g
852,445
UDR,
Inc.
675,000
2.100%, 
8/1/2032
627,160
VEREIT
Operating
Partnership,
LP
1,000,000
2.850%, 
12/15/2032
968,452
VICI
Properties,
LP
250,000
4.250%, 
12/1/2026
g
255,771
140,000
3.750%, 
2/15/2027
g
140,000
250,000
4.625%, 
12/1/2029
g
259,340
Voya
Financial,
Inc.
979,000
3.125%, 
7/15/2024
1,046,217
Wells
Fargo
&
Company
900,000
4.125%, 
8/15/2023
973,643
1,040,000
3.000%, 
2/19/2025
1,106,588
600,000
3.000%, 
4/22/2026
641,168
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Financials
(2.2%)
-
continued
$
1,140,000
3.000%, 
10/23/2026
$
1,216,734
1,200,000
2.393%, 
6/2/2028
b
1,229,873
930,000
4.900%, 
11/17/2045
1,116,191
Westpac
Banking
Corporation
1,750,000
2.668%, 
11/15/2035
b
1,660,575
Total
121,790,644
Mortgage-Backed
Securities
(11.1%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
27,417,605
3.000%, 
3/25/2050
28,615,103
18,759,583
3.000%, 
4/1/2050
19,591,325
14,408,251
3.500%, 
7/1/2047
15,295,788
Federal
National
Mortgage
Association
6,336,174
4.500%, 
5/1/2048
6,915,972
10,896,838
3.500%, 
10/1/2048
11,509,559
9,173,142
3.500%, 
6/1/2049
9,709,446
12,541,098
3.500%, 
8/1/2049
13,271,866
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
36,050,000
1.500%, 
4/1/2036
d
36,212,755
61,150,000
2.000%, 
4/1/2036
d
62,756,564
23,000,000
2.500%, 
4/1/2036
d
23,929,883
9,000,000
1.500%, 
5/1/2036
d
9,026,477
57,950,000
2.000%, 
5/1/2036
d
59,399,458
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
36,700,000
2.000%, 
4/1/2051
d,l
36,631,188
102,225,000
2.500%, 
4/1/2051
d
104,900,420
95,305,000
2.000%, 
5/1/2051
d,l
94,951,330
65,950,000
2.500%, 
5/1/2051
d
67,534,346
19,049,812
4.000%, 
7/1/2048
20,446,565
Total
620,698,045
Technology
(0.7%)
Apple,
Inc.
2,250,000
3.000%, 
11/13/2027
2,439,284
1,975,000
3.750%, 
9/12/2047
2,184,508
Applied
Materials,
Inc.
560,000
3.300%, 
4/1/2027
609,354
Baidu,
Inc.
940,000
3.425%, 
4/7/2030
984,759
Banff
Merger
Sub,
Inc.
205,000
9.750%, 
9/1/2026
g
218,325
Broadcom
Corporation
403,000
3.875%, 
1/15/2027
437,620
1,100,000
3.500%, 
1/15/2028
1,167,888
Broadcom,
Inc.
448,000
3.469%, 
4/15/2034
g
449,532
460,000
5.000%, 
4/15/2030
524,269
CDW,
LLC
280,000
4.250%, 
4/1/2028
289,800
CommScope
Technologies
Finance,
LLC
535,000
6.000%, 
6/15/2025
g
545,727
CommScope,
Inc.
310,000
7.125%, 
7/1/2028
g
329,245
Diamond
1
Finance
Corporation
2,320,000
6.020%, 
6/15/2026
g
2,746,525
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
276
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Technology
(0.7%)
-
continued
Diamond
Sports
Group,
LLC
$
790,000
6.625%, 
8/15/2027
g
$
410,800
Fiserv,
Inc.
1,650,000
2.250%, 
6/1/2027
1,686,646
960,000
2.650%, 
6/1/2030
966,839
Gartner,
Inc.
60,000
4.500%, 
7/1/2028
g
61,875
480,000
3.750%, 
10/1/2030
g
476,030
Hewlett
Packard
Enterprise
Company
650,000
4.650%, 
10/1/2024
725,597
Iron
Mountain,
Inc.
250,000
5.000%, 
7/15/2028
g
255,625
540,000
4.875%, 
9/15/2029
g
546,723
300,000
5.250%, 
7/15/2030
g
309,540
KLA
Corporation
1,440,000
3.300%, 
3/1/2050
1,383,106
Lam
Research
Corporation
1,200,000
2.875%, 
6/15/2050
1,143,889
Micron
Technology,
Inc.
450,000
2.497%, 
4/24/2023
467,050
Microsoft
Corporation
526,000
2.675%, 
6/1/2060
482,845
1,575,000
4.200%, 
11/3/2035
1,881,957
1,700,000
3.700%, 
8/8/2046
1,905,636
NCR
Corporation
820,000
6.125%, 
9/1/2029
g
868,175
NVIDIA
Corporation
1,100,000
3.500%, 
4/1/2040
1,183,245
NXP
Funding,
LLC
1,250,000
4.875%, 
3/1/2024
g
1,389,320
Open
Text
Corporation
545,000
4.125%, 
2/15/2030
g
552,461
Oracle
Corporation
1,300,000
2.800%, 
4/1/2027
1,369,085
1,400,000
3.850%, 
7/15/2036
1,488,939
1,200,000
3.600%, 
4/1/2040
1,205,183
PTC,
Inc.
220,000
3.625%, 
2/15/2025
g
225,775
210,000
4.000%, 
2/15/2028
g
213,150
Qorvo,
Inc.
350,000
3.375%, 
4/1/2031
g
342,961
Rackspace
Technology
Global,
Inc.
430,000
5.375%, 
12/1/2028
g,j
437,235
Seagate
HDD
Cayman
540,000
3.375%, 
7/15/2031
g
519,183
Sensata
Technologies,
Inc.
750,000
3.750%, 
2/15/2031
g
739,455
Shift4
Payments,
LLC
150,000
4.625%, 
11/1/2026
g
155,625
SS&C
Technologies,
Inc.
880,000
5.500%, 
9/30/2027
g
937,244
Switch,
Ltd.
440,000
3.750%, 
9/15/2028
g
433,277
Teledyne
Technologies,
Inc.
714,000
2.250%, 
4/1/2028
710,558
Texas
Instruments,
Inc.
1,380,000
4.150%, 
5/15/2048
1,641,786
Tyco
Electronics
Group
SA
284,000
3.450%, 
8/1/2024
305,982
568,000
3.125%, 
8/15/2027
609,316
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Technology
(0.7%)
-
continued
VMware,
Inc.
$
550,000
4.650%, 
5/15/2027
$
623,433
Total
41,582,382
Transportation
(0.2%)
Air
Canada
Pass
Through
Trust
181,573
3.875%, 
3/15/2023
g
181,292
American
Airlines,
Inc.
390,000
11.750%, 
7/15/2025
g
482,426
620,000
5.500%, 
4/20/2026
g
645,228
100,000
5.750%, 
4/20/2029
g
106,365
Avis
Budget
Car
Rental,
LLC
360,000
5.375%, 
3/1/2029
g
372,393
Boeing
Company
600,000
5.805%, 
5/1/2050
755,370
Burlington
Northern
Santa
Fe,
LLC
850,000
5.750%, 
5/1/2040
1,137,754
900,000
4.450%, 
3/15/2043
1,062,383
CSX
Corporation
720,000
3.800%, 
4/15/2050
764,000
Delta
Air
Lines,
Inc.
415,000
7.000%, 
5/1/2025
g
478,062
975,000
4.750%, 
10/20/2028
g
1,060,211
Hawaiian
Brand
Intellectual
Property,
Ltd.
470,000
5.750%, 
1/20/2026
g
499,422
Mileage
Plus
Holdings,
LLC
440,000
6.500%, 
6/20/2027
g
482,350
Southwest
Airlines
Company
510,000
4.750%, 
5/4/2023
550,645
875,000
5.125%, 
6/15/2027
1,005,961
United
Parcel
Service,
Inc.
960,000
4.450%, 
4/1/2030
1,122,049
XPO
Logistics,
Inc.
728,000
6.750%, 
8/15/2024
g
763,490
Total
11,469,401
U.S.
Government
&
Agencies
(12.5%)
U.S.
Treasury
Bonds
20,680,000
1.625%, 
11/15/2050
17,232,256
16,975,000
2.250%, 
11/15/2027
17,968,966
31,750,000
2.875%, 
5/15/2028
34,901,435
14,120,000
5.250%, 
11/15/2028
17,977,628
38,050,000
1.625%, 
8/15/2029
38,185,256
13,170,000
1.500%, 
2/15/2030
13,007,947
6,250,000
0.875%, 
11/15/2030
5,780,273
350,000
1.125%, 
2/15/2031
330,695
1,075,000
4.375%, 
5/15/2040
1,441,130
41,740,000
1.375%, 
11/15/2040
35,505,088
600,000
3.000%, 
5/15/2042
670,055
27,658,000
2.500%, 
5/15/2046
28,185,231
35,275,000
2.875%, 
5/15/2049
38,736,359
U.S.
Treasury
Notes
2,000,000
2.500%, 
1/15/2022
2,038,438
3,990,000
1.125%, 
2/28/2022
4,028,341
91,985,000
0.125%, 
6/30/2022
92,006,559
22,230,000
1.875%, 
7/31/2022
22,750,147
60,930,000
0.125%, 
10/31/2022
60,922,860
53,005,000
2.000%, 
11/30/2022
54,638,631
6,540,000
2.500%, 
3/31/2023
6,844,774
23,100,000
0.125%, 
10/15/2023
23,024,203
65,780,000
2.500%, 
1/31/2024
69,824,443
12,780,000
2.125%, 
7/31/2024
13,489,390
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
277
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
U.S.
Government
&
Agencies
(12.5%)
-
continued
$
15,100,000
2.250%, 
11/15/2024
$
16,024,285
8,000,000
2.125%, 
11/30/2024
8,456,562
3,700,000
1.375%, 
1/31/2025
3,806,953
6,000,000
0.250%, 
8/31/2025
5,860,313
33,790,000
2.625%, 
1/31/2026
36,580,315
22,580,000
2.500%, 
2/28/2026
24,313,191
2,350,000
0.500%, 
4/30/2027
2,250,676
4,300,000
0.750%, 
1/31/2028
4,122,625
Total
700,905,025
Utilities
(0.7%)
Ameren
Illinois
Company
720,000
4.500%, 
3/15/2049
866,698
American
Water
Capital
Corporation
1,150,000
2.800%, 
5/1/2030
1,182,706
Appalachian
Power
Company
560,000
3.300%, 
6/1/2027
602,612
Berkshire
Hathaway
Energy
Company
900,000
4.500%, 
2/1/2045
1,043,280
Calpine
Corporation
710,000
4.500%, 
2/15/2028
g
715,964
CenterPoint
Energy,
Inc.
500,000
2.500%, 
9/1/2024
524,256
750,000
4.250%, 
11/1/2028
841,162
CMS
Energy
Corporation
440,000
2.950%, 
2/15/2027
464,940
Commonwealth
Edison
Company
1,025,000
3.700%, 
3/1/2045
1,090,019
Consolidated
Edison
Company
of
New
York,
Inc.
900,000
4.125%, 
5/15/2049
1,000,664
Consolidated
Edison,
Inc.
384,000
4.500%, 
12/1/2045
443,592
Consumers
Energy
Company
1,025,000
4.350%, 
4/15/2049
1,226,430
DTE
Electric
Company
760,000
3.700%, 
3/15/2045
803,707
640,000
3.700%, 
6/1/2046
679,415
Duke
Energy
Carolinas,
LLC
960,000
3.700%, 
12/1/2047
1,019,779
Duke
Energy
Corporation
520,000
3.750%, 
9/1/2046
522,952
Duke
Energy
Florida,
LLC
775,000
3.200%, 
1/15/2027
837,836
Duke
Energy
Indiana,
LLC
1,085,000
3.750%, 
5/15/2046
1,134,221
Edison
International
950,000
5.750%, 
6/15/2027
1,108,224
Exelon
Corporation
575,000
4.700%, 
4/15/2050
688,739
792,000
4.450%, 
4/15/2046
907,900
FirstEnergy
Corporation
350,000
2.850%, 
7/15/2022
355,250
ITC
Holdings
Corporation
284,000
4.050%, 
7/1/2023
303,197
560,000
5.300%, 
7/1/2043
685,732
Mississippi
Power
Company
800,000
3.950%, 
3/30/2028
881,824
Monongahela
Power
Company
780,000
5.400%, 
12/15/2043
g
960,563
Principal
Amount
Long-Term
Fixed
Income
(36.7%)
Value
Utilities
(0.7%)
-
continued
National
Rural
Utilities
Cooperative
Finance
Corporation
$
500,000
3.900%, 
11/1/2028
$
558,233
1,000,000
3.700%, 
3/15/2029
1,094,874
NextEra
Energy
Operating
Partners,
LP
600,000
3.875%, 
10/15/2026
g
629,250
NiSource
Finance
Corporation
675,000
5.650%, 
2/1/2045
867,266
NiSource,
Inc.
875,000
3.600%, 
5/1/2030
948,377
NRG
Energy,
Inc.
655,000
3.375%, 
2/15/2029
g
639,444
Pacific
Gas
and
Electric
Company
800,000
3.300%, 
12/1/2027
835,475
476,000
3.250%, 
6/1/2031
473,895
800,000
3.950%, 
12/1/2047
736,282
PG&E
Corporation
290,000
5.000%, 
7/1/2028
306,378
220,000
5.250%, 
7/1/2030
233,200
PPL
Capital
Funding,
Inc.
825,000
5.000%, 
3/15/2044
983,306
PPL
Electric
Utilities
Corporation
840,000
3.950%, 
6/1/2047
925,648
Public
Service
Electric
&
Gas
Company
410,000
3.000%, 
5/15/2027
440,076
San
Diego
Gas
and
Electric
Company
1,450,000
4.150%, 
5/15/2048
1,634,540
South
Carolina
Electric
&
Gas
Company
760,000
5.100%, 
6/1/2065
1,007,513
Southern
California
Edison
Company
1,135,000
4.000%, 
4/1/2047
1,169,179
Southern
Company
665,000
3.250%, 
7/1/2026
711,800
Southern
Company
Gas
Capital
Corporation
600,000
4.400%, 
5/30/2047
663,561
Southwestern
Electric
Power
Company
460,000
3.900%, 
4/1/2045
479,180
Suburban
Propane
Partners,
LP
560,000
5.875%, 
3/1/2027
582,400
Talen
Energy
Supply,
LLC
435,000
7.625%, 
6/1/2028
g
440,437
TerraForm
Power
Operating,
LLC
510,000
5.000%, 
1/31/2028
g
550,315
Virginia
Electric
and
Power
Company
750,000
4.600%, 
12/1/2048
921,268
Vistra
Operations
Company,
LLC
560,000
5.000%, 
7/31/2027
g
576,811
Total
39,300,370
Total
Long-Term
Fixed
Income
(cost
$2,021,382,513)
2,059,031,669
Shares
Registered
Investment
Companies
(
35.6%
)
Value
Unaffiliated  (0.9%)
1,270,850
Invesco
Senior
Loan
ETF
28,123,910
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
278
Shares
Registered
Investment
Companies
(35.6%)
Value
Unaffiliated  (0.9%)-
continued
7,337
ProShares
Ultra
S&P
500
j
$
750,648
514
ProShares
UltraPro
QQQ
46,908
15,267
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
j
1,661,050
118,734
SPDR
Bloomberg
Barclays
Short
Term
High
Yield
Bond
ETF
3,245,000
42,246
SPDR
S&P
500
ETF
Trust
16,743,357
6,198
SPDR
S&P
Oil
&
Gas
Exploration
ETF
j
504,145
Total
51,075,018
Affiliated  (34.7%)
19,439,076
Thrivent
Core
Emerging
Markets
Debt
Fund
187,975,863
3,610,831
Thrivent
Core
Emerging
Markets
Equity
Fund
44,304,901
5,618,928
Thrivent
Core
International
Equity
Fund
57,088,313
7,975,263
Thrivent
Core
Low
Volatility
Equity
Fund
103,678,423
3,478,328
Thrivent
Global
Stock
Portfolio
51,842,399
31,030,232
Thrivent
High
Yield
Portfolio
143,642,046
41,325,791
Thrivent
Income
Portfolio
451,620,640
17,978,733
Thrivent
International
Allocation
Portfolio
189,878,796
1,580,547
Thrivent
International
Index
Portfolio
20,669,758
10,802,677
Thrivent
Large
Cap
Value
Portfolio
235,427,060
25,478,189
Thrivent
Limited
Maturity
Bond
Portfolio
256,285,102
5,379,170
Thrivent
Mid
Cap
Stock
Portfolio
133,706,805
3,003,419
Thrivent
Small
Cap
Stock
Portfolio
71,773,316
Total
1,947,893,422
Total
Registered
Investment
Companies
(cost
$1,686,313,192)
1,998,968,440
Shares
Common
Stock
(
19.4%
)
Value
Communications
Services
(1.6%)
41,108
Activision
Blizzard,
Inc.
3,823,044
11,878
Alphabet,
Inc.,
Class
A
m
24,498,613
2,518
Alphabet,
Inc.,
Class
C
m
5,208,810
14,402
AMC
Networks,
Inc.
m
765,610
5,814
ANGI
Homeservices,
Inc.
m
75,582
45,291
AT&T,
Inc.
1,370,959
911
Cardlytics,
Inc.
m
99,937
3,763
Cars.com
Inc.
m
48,768
2,180
Charter
Communications,
Inc.
m
1,345,104
97,284
Comcast
Corporation
5,264,037
2,115
Consolidated
Communications
Holdings,
Inc.
m
15,228
20,845
Discovery,
Inc.,
Class
A
j,m
905,924
8,292
DISH
Network
Corporation
m
300,170
3,404
EchoStar
Corporation
m
81,696
12,022
Entercom
Communications
Corporation
m
63,115
51,910
Facebook,
Inc.
m
15,289,052
11,294
Gannett
Company,
Inc.
m
60,762
6,200
Gray
Television,
Inc.
114,080
1,866
Hemisphere
Media
Group,
Inc.
m
21,739
11,361
Interpublic
Group
of
Companies,
Inc.
331,741
51,625
Live
Nation
Entertainment,
Inc.
m
4,370,056
28,034
Lumen
Technologies,
Inc.
374,254
Shares
Common
Stock
(19.4%)
Value
Communications
Services
(1.6%)
-
continued
22,063
Match
Group,
Inc.
m
$
3,031,015
2,732
Omnicom
Group,
Inc.
202,578
24,179
QuinStreet,
Inc.
m
490,834
8,412
RingCentral,
Inc.
m
2,505,767
108
Roku,
Inc.
m
35,183
1,374
Scholastic
Corporation
41,371
5,984
Take-Two
Interactive
Software,
Inc.
m
1,057,373
11,311
Telephone
&
Data
Systems,
Inc.
259,701
91,210
Twitter,
Inc.
m
5,803,692
122,463
Uber
Technologies,
Inc.
m
6,675,458
1,839
United
States
Cellular
Corporation
m
67,087
87,999
Verizon
Communications,
Inc.
5,117,142
12,843
Walt
Disney
Company
m
2,369,790
4,552
WideOpenWest,
Inc.
m
61,862
6,476
Windstream
Services,
LLC,
Warrants
(Expires
12/31/2049)
m
83,106
3,126
Zillow
Group,
Inc.
m
410,694
Total
92,640,934
Consumer
Discretionary
(2.8%)
1,864
Aaron's
Company,
Inc.
47,868
6,284
Adient
plc
m
277,753
12,538
Amazon.com,
Inc.
m
38,793,575
13,654
American
Axle
&
Manufacturing
Holdings,
Inc.
m
131,898
7,908
American
Eagle
Outfitters,
Inc.
j
231,230
61,174
Aptiv
plc
m
8,435,895
17,639
At
Home
Group,
Inc.
m
506,239
3,352
AutoNation,
Inc.
m
312,473
1,632
AutoZone,
Inc.
m
2,291,818
4,566
Bally's
Corporation
m
296,699
3,329
Beazer
Homes
USA,
Inc.
m
69,643
2,920
Bed
Bath
&
Beyond,
Inc.
m
85,118
3,506
Big
5
Sporting
Goods
Corporation
55,044
4,933
Big
Lots,
Inc.
336,924
3,911
BJ's
Restaurants,
Inc.
m
227,151
2,165
Booking
Holdings,
Inc.
m
5,044,104
5,099
Bright
Horizons
Family
Solutions,
Inc.
m
874,224
1,758
Brinker
International,
Inc.
m
124,923
1,578
Brunswick
Corporation
150,494
6,717
Burlington
Stores,
Inc.
m
2,007,040
22,566
Caesars
Entertainment,
Inc.
m
1,973,397
955
Camping
World
Holdings,
Inc.
34,743
7,033
Carnival
Corporation
m
186,656
8,555
Carvana
Company
m
2,244,832
110
Cavco
Industries,
Inc.
m
24,817
8,099
Cedar
Fair,
LP
m
402,358
994
Century
Casinos,
Inc.
m
10,208
14,792
Chegg,
Inc.
m
1,267,083
23,344
Chewy,
Inc.
j,m
1,977,470
43,351
Chico's
FAS,
Inc.
m
143,492
3,907
Children's
Place,
Inc.
m
272,318
4,714
Chipotle
Mexican
Grill,
Inc.
m
6,697,745
4,196
Choice
Hotels
International,
Inc.
450,189
684
Churchill
Downs,
Inc.
155,555
29,718
Cooper-Standard
Holdings,
Inc.
m
1,079,358
2,345
Cracker
Barrel
Old
Country
Store,
Inc.
405,404
4,432
Crocs,
Inc.
m
356,554
8,021
Culp,
Inc.
123,443
19,516
D.R.
Horton,
Inc.
1,739,266
9,910
Dana,
Inc.
241,110
3,238
Darden
Restaurants,
Inc.
459,796
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
279
Shares
Common
Stock
(19.4%)
Value
Consumer
Discretionary
(2.8%)
-
continued
1,189
Deckers
Outdoor
Corporation
m
$
392,869
6,625
Designer
Brands,
Inc.
m
115,275
11,370
Dick's
Sporting
Goods,
Inc.
865,825
4,066
Dillard's,
Inc.
392,654
4,623
Domino's
Pizza,
Inc.
1,700,293
2,086
Dorman
Products,
Inc.
m
214,107
40,902
Duluth
Holdings,
Inc.
j,m
692,880
14,589
Emerald
Holding,
Inc.
m
80,531
1,709
Ethan
Allen
Interiors,
Inc.
47,185
2,414
Etsy,
Inc.
m
486,831
2,237
Expedia
Group,
Inc.
m
385,032
17,194
Farfetch,
Ltd.
j,m
911,626
8,280
Five
Below,
Inc.
m
1,579,741
4,472
Foot
Locker,
Inc.
251,550
525
Fox
Factory
Holding
Corporation
m
66,706
21,590
Gap,
Inc.
m
642,950
2,476
Garmin,
Ltd.
326,461
26,892
Gentex
Corporation
959,238
4,423
Genuine
Parts
Company
511,255
5,557
G-III
Apparel
Group,
Ltd.
m
167,488
8,172
Goodyear
Tire
&
Rubber
Company
m
143,582
196
Graham
Holdings
Company
110,238
2,767
Grand
Canyon
Education,
Inc.
m
296,346
2,660
Group
1
Automotive,
Inc.
419,721
10,540
Guess
?,
Inc.
247,690
21,833
Hanesbrands,
Inc.
429,455
13,030
Harley-Davidson,
Inc.
522,503
1,634
Helen
of
Troy,
Ltd.
m
344,218
11,996
Home
Depot,
Inc.
3,661,779
9,825
IAA,
Inc.
m
541,750
3,485
KB
Home
162,157
7,640
Knoll,
Inc.
126,136
38,808
Kohl's
Corporation
2,313,345
10,524
L
Brands,
Inc.
m
651,015
8,262
Lear
Corporation
1,497,488
11,181
Leggett
&
Platt,
Inc.
510,413
5,173
Lithia
Motors,
Inc.
2,017,936
27,118
Lowe's
Companies,
Inc.
5,157,301
1,776
Lululemon
Athletica,
Inc.
m
544,717
2,490
M.D.C.
Holdings,
Inc.
147,906
2,188
M/I
Homes,
Inc.
m
129,245
81,727
Macy's,
Inc.
m
1,323,160
9,037
Magnite,
Inc.
m
376,030
794
Marriott
Vacations
Worldwide
Corporation
m
138,299
37,378
Mattel,
Inc.
m
744,570
7,867
McDonald's
Corporation
1,763,309
642
Mercadolibre,
Inc.
m
945,114
2,586
Meritage
Homes
Corporation
m
237,705
7,482
Miller
Industries,
Inc.
345,594
6,096
Mohawk
Industries,
Inc.
m
1,172,322
2,993
Nautilus,
Inc.
m
46,811
13,817
NIKE,
Inc.
1,836,141
1,244
Noodles
&
Company
m
12,875
35,267
Nordstrom,
Inc.
m
1,335,561
19,118
Norwegian
Cruise
Line
Holdings,
Ltd.
j,m
527,466
841
NVR,
Inc.
m
3,961,892
4,748
Ollie's
Bargain
Outlet
Holdings,
Inc.
m
413,076
9,400
Overstock.com,
Inc.
m
622,844
25,061
Park
Hotels
&
Resorts,
Inc.
m
540,816
8,554
Penn
National
Gaming,
Inc.
m
896,801
23,928
Planet
Fitness,
Inc.
m
1,849,634
Shares
Common
Stock
(19.4%)
Value
Consumer
Discretionary
(2.8%)
-
continued
6,616
Playa
Hotels
and
Resorts
NV
m
$
48,297
1,508
Pool
Corporation
520,622
9,125
PulteGroup,
Inc.
478,515
2,026
Purple
Innovation,
Inc.
m
64,123
694
PVH
Corporation
m
73,356
54,738
Qurate
Retail,
Inc.
643,719
342
Revolve
Group,
Inc.
m
15,366
562
RH
m
335,289
8,908
Ross
Stores,
Inc.
1,068,158
2,492
Royal
Caribbean
Cruises,
Ltd.
m
213,340
9,744
Ruth's
Hospitality
Group,
Inc.
m
241,944
11,183
Skyline
Corporation
m
506,143
2,762
Sleep
Number
Corporation
m
396,319
26,137
Sony
Corporation
ADR
2,770,783
5,921
Standard
Motor
Products,
Inc.
246,195
1,971
Stitch
Fix,
Inc.
m
97,643
10,477
Stoneridge,
Inc.
m
333,273
1,484
Strategic
Education,
Inc.
136,394
38,959
Taylor
Morrison
Home
Corporation
m
1,200,327
16,362
Tenneco,
Inc.
m
175,401
15,731
Tesla,
Inc.
m
10,507,207
3,823
Texas
Roadhouse,
Inc.
m
366,779
1,864
Thor
Industries,
Inc.
251,155
14,675
Toll
Brothers,
Inc.
832,513
702
TopBuild
Corporation
m
147,020
15,392
Tri
Pointe
Homes,
Inc.
m
313,381
6,383
TripAdvisor,
Inc.
m
343,342
17,413
Tupperware
Brands
Corporation
m
459,877
5,202
Ulta
Beauty,
Inc.
m
1,608,302
1,627
Vail
Resorts,
Inc.
m
474,531
791
Whirlpool
Corporation
174,297
683
Williams-Sonoma,
Inc.
122,394
3,974
Wingstop,
Inc.
505,374
6,900
Workhorse
Group,
Inc.
j,m
95,013
16,953
Wyndham
Hotels
&
Resorts,
Inc.
1,182,980
1,212
YETI
Holdings,
Inc.
m
87,519
9,496
Zumiez,
Inc.
m
407,378
Total
157,845,634
Consumer
Staples
(0.5%)
4,771
Altria
Group,
Inc.
244,084
31,391
BJ's
Wholesale
Club
Holdings,
Inc.
m
1,408,200
286
Boston
Beer
Company,
Inc.
m
344,996
328
Casey's
General
Stores,
Inc.
70,910
13,983
Colgate-Palmolive
Company
1,102,280
6,601
Costco
Wholesale
Corporation
2,326,721
33,010
Coty,
Inc.
m
297,420
8,614
Darling
Ingredients,
Inc.
m
633,818
27,421
e.l.f.
Beauty,
Inc.
m
735,705
775
Edgewell
Personal
Care
Company
30,690
3,207
Flowers
Foods,
Inc.
76,327
15,173
Hain
Celestial
Group,
Inc.
m
661,543
1,948
Hershey
Company
308,096
1,923
Ingredion,
Inc.
172,916
2,454
John
B.
Sanfilippo
&
Son,
Inc.
221,768
8,629
Kimberly-Clark
Corporation
1,199,862
35,794
Lamb
Weston
Holdings,
Inc.
2,773,319
632
Medifast,
Inc.
133,870
18,319
Monster
Beverage
Corporation
m
1,668,678
12,130
NewAge,
Inc.
j,m
34,692
1,403
PepsiCo,
Inc.
198,454
3,353
Performance
Food
Group
Company
m
193,166
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
280
Shares
Common
Stock
(19.4%)
Value
Consumer
Staples
(0.5%)
-
continued
55,034
Philip
Morris
International,
Inc.
$
4,883,717
31,400
Primo
Water
Corporation
510,564
10,942
Procter
&
Gamble
Company
1,481,875
1,975
Seneca
Foods
Corporation
m
93,003
1,114
Spectrum
Brands
Holdings,
Inc.
94,690
636
Tootsie
Roll
Industries,
Inc.
j
21,071
22,959
Turning
Point
Brands,
Inc.
1,197,771
838
United
Natural
Foods,
Inc.
m
27,604
4,181
US
Foods
Holding
Corporation
m
159,380
1,652
Utz
Brands,
Inc.
40,953
2,066
Vector
Group,
Ltd.
28,821
38,523
Wal-Mart
Stores,
Inc.
5,232,579
48
WD-40
Company
14,697
Total
28,624,240
Energy
(0.5%)
19,376
Antero
Midstream
Corporation
174,965
66,925
Antero
Resources
Corporation
m
682,635
32,194
Archrock,
Inc.
305,521
771
Bonanza
Creek
Energy,
Inc.
m
27,548
65,701
BP
plc
ADR
1,599,819
52,101
Centennial
Resource
Development,
Inc.
m
218,824
5,049
Chevron
Corporation
529,085
20,181
Cimarex
Energy
Company
1,198,550
1,594
Clean
Energy
Fuels
Corporation
m
21,902
8,810
CNX
Resources
Corporation
m
129,507
33,012
ConocoPhillips
1,748,646
3,004
CONSOL
Energy,
Inc.
m
29,199
9,459
Continental
Resources,
Inc.
m
244,704
12,981
Core
Laboratories
NV
373,723
144,634
Devon
Energy
Corporation
3,160,253
10,555
Diamondback
Energy,
Inc.
775,687
6,104
Dorian
LPG,
Ltd.
m
80,145
31,154
EnLink
Midstream,
LLC
133,651
54,611
Enterprise
Products
Partners,
LP
1,202,534
13,618
EOG
Resources,
Inc.
987,713
1,109
Evolution
Petroleum
Corporation
3,748
12,463
Exterran
Corporation
m
41,876
19,695
Exxon
Mobil
Corporation
1,099,572
37,941
Gevo,
Inc.
j,m
372,201
26,268
Gran
Tierra
Energy,
Inc.
j,m
18,382
55,191
Halliburton
Company
1,184,399
30,769
Helix
Energy
Solutions
Group,
Inc.
m
155,383
26,521
Helmerich
&
Payne,
Inc.
715,006
11,333
HollyFrontier
Corporation
405,495
86,686
Kinder
Morgan,
Inc.
1,443,322
6,433
Liberty
Oilfield
Services,
Inc.
m
72,629
39,938
Marathon
Oil
Corporation
426,538
32,180
Marathon
Petroleum
Corporation
1,721,308
104,062
McDermott
International,
Inc.
m
83,250
1,201
Nabors
Industries,
Ltd.
m
112,233
24,013
Nine
Energy
Service,
Inc.
m
55,230
26,387
Occidental
Petroleum
Corporation
702,422
8,327
Oceaneering
International,
Inc.
m
95,094
29,900
Patterson-UTI
Energy,
Inc.
213,187
14,030
Pioneer
Natural
Resources
Company
2,228,245
6,330
Plains
GP
Holdings,
LP
m
59,502
9,280
ProPetro
Holding
Corporation
m
98,925
1,756
Renewable
Energy
Group,
Inc.
m
115,966
7,894
Ring
Energy,
Inc.
j,m
18,235
6,762
Talos
Energy,
Inc.
m
81,414
4,569
Targa
Resources
Corporation
145,066
Shares
Common
Stock
(19.4%)
Value
Energy
(0.5%)
-
continued
63,493
Transocean,
Ltd.
j,m
$
225,400
501
TravelCenters
of
America,
Inc.
m
13,592
3,796
Valero
Energy
Corporation
271,794
Total
25,804,025
Financials
(2.8%)
194
1st
Source
Corporation
9,230
3,429
AG
Mortgage
Investment
Trust,
Inc.
13,819
21,025
Air
Lease
Corporation
1,030,225
1,895
Alleghany
Corporation
m
1,186,820
12,757
Ally
Financial,
Inc.
576,744
24,940
American
Equity
Investment
Life
Holding
Company
786,358
29,448
American
Express
Company
4,165,125
13,680
American
Financial
Group,
Inc.
1,560,888
256
American
National
Group,
Inc.
27,615
1,587
Ameriprise
Financial,
Inc.
368,898
5,581
Ameris
Bancorp
293,058
65,253
Annaly
Capital
Management,
Inc.
561,176
18,474
Apollo
Commercial
Real
Estate
Finance,
Inc.
258,082
28,096
Arch
Capital
Group,
Ltd.
m
1,078,044
2,157
Argo
Group
International
Holdings,
Ltd.
108,540
18,578
Arthur
J.
Gallagher
&
Company
2,317,977
6,211
Artisan
Partners
Asset
Management,
Inc.
324,028
40,311
Associated
Banc-Corp
860,237
27,536
Assured
Guaranty,
Ltd.
1,164,222
3,501
Bancorp,
Inc.
m
72,541
161,412
Bank
of
America
Corporation
6,245,030
2,663
Bank
of
Marin
Bancorp
104,283
8,494
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
324,641
7,962
BankFinancial
Corporation
82,168
13,956
Banner
Corporation
744,273
6,978
Berkshire
Hathaway,
Inc.
m
1,782,670
29,917
Berkshire
Hills
Bancorp,
Inc.
667,747
2,863
BlackRock,
Inc.
2,158,587
3,501
Blackstone
Mortgage
Trust,
Inc.
108,531
111
BM
Technologies,
Inc.
e,m
1,228
652
BOK
Financial
Corporation
58,237
18,925
Bridgewater
Bancshares,
Inc.
m
305,639
10,974
Brighthouse
Financial,
Inc.
m
485,599
24,380
BrightSphere
Investment
Group
496,864
2,659
Broadmark
Realty
Capital,
Inc.
27,813
14,410
Brookline
Bancorp,
Inc.
216,150
3,032
Brown
&
Brown,
Inc.
138,593
3,905
Byline
Bancorp,
Inc.
82,591
31,033
Capital
One
Financial
Corporation
3,948,329
14,923
Central
Pacific
Financial
Corporation
398,146
104,341
Charles
Schwab
Corporation
6,800,946
37,181
Chimera
Investment
Corporation
472,199
14,913
Chubb,
Ltd.
2,355,807
11,198
Cincinnati
Financial
Corporation
1,154,402
56,673
Citigroup,
Inc.
4,122,961
8,371
Citizens
Financial
Group,
Inc.
369,580
7,135
CME
Group,
Inc.
1,457,181
8,642
CNO
Financial
Group,
Inc.
209,914
13,090
Columbia
Banking
System,
Inc.
564,048
25,186
Comerica,
Inc.
1,806,844
1,236
Commerce
Bancshares,
Inc.
94,690
16,056
Community
Trust
Bancorp,
Inc.
706,946
1,552
Cowen,
Inc.
54,553
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
281
Shares
Common
Stock
(19.4%)
Value
Financials
(2.8%)
-
continued
1,366
Cullen/Frost
Bankers,
Inc.
$
148,566
5,008
Customers
Bancorp,
Inc.
m
159,355
284
Diamond
Hill
Investment
Group,
Inc.
44,307
1,698
Dime
Community
Bancshares,
Inc.
51,178
19,088
Discover
Financial
Services
1,813,169
5,895
East
West
Bancorp,
Inc.
435,051
8,061
Ellington
Residential
Mortgage
REIT
99,231
540
Employers
Holdings,
Inc.
23,252
1,164
Encore
Capital
Group,
Inc.
m
46,828
4,747
Enova
International,
Inc.
m
168,424
291
Enstar
Group,
Ltd.
m
71,798
2,413
Enterprise
Financial
Services
Corporation
119,299
83,243
Equitable
Holdings,
Inc.
2,715,387
7,157
Essent
Group,
Ltd.
339,886
3,871
Evercore,
Inc.
509,966
68,107
Everi
Holdings,
Inc.
m
960,990
43,081
F.N.B.
Corporation
547,129
2,864
FactSet
Research
Systems,
Inc.
883,802
796
Federal
Agricultural
Mortgage
Corporation
80,173
10,584
Financial
Institutions,
Inc.
320,589
1,228
First
American
Financial
Corporation
69,566
15,609
First
Bancorp/Puerto
Rico
175,757
21,861
First
Busey
Corporation
560,735
25,143
First
Financial
Bancorp
603,432
6,612
First
Financial
Corporation
297,606
7,721
First
Horizon
Corporation
130,562
1,016
First
Mid-Illinois
Bancshares,
Inc.
44,633
19,812
First
Midwest
Bancorp,
Inc.
434,081
1,173
First
of
Long
Island
Corporation
24,926
16,083
First
Republic
Bank
2,681,840
35,151
Flagstar
Bancorp,
Inc.
1,585,310
1,753
Flushing
Financial
Corporation
37,216
69,084
Fulton
Financial
Corporation
1,176,500
4,833
Glacier
Bancorp,
Inc.
275,868
3,517
Goldman
Sachs
Group,
Inc.
1,150,059
21,699
Granite
Point
Mortgage
Trust,
Inc.
259,737
16,487
Great
Southern
Bancorp,
Inc.
934,318
12,786
Great
Western
Bancorp,
Inc.
387,288
3,835
Hamilton
Lane,
Inc.
339,628
46,438
Hancock
Whitney
Corporation
1,950,860
8,504
Hanmi
Financial
Corporation
167,784
9,815
Hanover
Insurance
Group,
Inc.
1,270,650
15,734
Heartland
Financial
USA,
Inc.
790,791
17,937
Heritage
Commerce
Corporation
219,190
1,651
Hilltop
Holdings,
Inc.
56,349
457
HomeStreet,
Inc.
20,140
13,085
Hometrust
Bancshares,
Inc.
318,620
91,658
Hope
Bancorp,
Inc.
1,380,369
14,239
Horizon
Bancorp,
Inc.
264,561
15,448
Independent
Bank
Corporation
365,191
24,529
Invesco
Mortgage
Capital.
Inc.
98,361
31,551
Invesco,
Ltd.
795,716
50,726
J.P.
Morgan
Chase
&
Company
7,722,019
7,263
James
River
Group
Holdings,
Ltd.
331,338
14,200
Jefferies
Financial
Group,
Inc.
427,420
24,756
KeyCorp
494,625
11,135
Kinsale
Capital
Group,
Inc.
1,835,048
926
KKR
Real
Estate
Finance
Trust,
Inc.
17,029
12,212
Ladder
Capital
Corporation
144,102
6,044
Lakeland
Bancorp,
Inc.
105,347
Shares
Common
Stock
(19.4%)
Value
Financials
(2.8%)
-
continued
17,689
Lincoln
National
Corporation
$
1,101,494
4,189
Loews
Corporation
214,812
220
Markel
Corporation
m
250,716
315
MarketAxess
Holdings,
Inc.
156,845
12,572
Marsh
&
McLennan
Companies,
Inc.
1,531,270
3,857
Mercantile
Bank
Corporation
125,237
29,055
Meridian
Bancorp,
Inc.
535,193
16,504
MetLife,
Inc.
1,003,278
129,774
MFA
Financial,
Inc.
528,180
5,506
Midland
States
Bancorp,
Inc.
152,736
22,284
MidWestOne
Financial
Group,
Inc.
690,135
2,500
Moody's
Corporation
746,525
50,373
Morgan
Stanley
3,911,967
10,318
Mr.
Cooper
Group,
Inc.
m
358,654
4,042
MSCI,
Inc.
1,694,730
289
National
Western
Life
Group,
Inc.
71,961
25,090
Navient
Corporation
359,038
743
NBT
Bancorp,
Inc.
29,646
83,699
New
York
Community
Bancorp,
Inc.
1,056,281
15,881
New
York
Mortgage
Trust,
Inc.
70,988
6,564
NMI
Holdings,
Inc.
m
155,173
6,496
Northern
Trust
Corporation
682,795
6,662
OFG
Bancorp
150,694
17,928
Old
National
Bancorp
346,727
9,267
Old
Republic
International
Corporation
202,391
7,069
Old
Second
Bancorp,
Inc.
93,381
2,111
OneMain
Holdings,
Inc.
113,403
847
Oppenheimer
Holdings,
Inc.
33,922
21,373
PacWest
Bancorp
815,380
561
Peapack-Gladstone
Financial
Corporation
17,324
3,906
PennyMac
Mortgage
Investment
Trust
76,558
2,591
Peoples
Bancorp,
Inc.
85,943
33,595
Popular,
Inc.
2,362,400
17,252
Premier
Financial
Corporation
573,801
3,176
Primerica,
Inc.
469,476
4,221
PROG
Holdings,
Inc.
182,727
3,891
Prosperity
Bancshares,
Inc.
291,397
11,686
QCR
Holdings,
Inc.
551,813
49,502
Radian
Group,
Inc.
1,150,921
24,156
Raymond
James
Financial,
Inc.
2,960,559
27,471
Redwood
Trust,
Inc.
285,973
7,525
Reinsurance
Group
of
America,
Inc.
948,526
2,314
RenaissanceRe
Holdings,
Ltd.
370,818
474
RLI
Corporation
52,884
16,025
S&P
Global,
Inc.
5,654,742
1,824
Safety
Insurance
Group,
Inc.
153,672
17,553
Seacoast
Banking
Corporation
of
Florida
m
636,121
15,575
SEI
Investments
Company
948,985
3,523
Selective
Insurance
Group,
Inc.
255,558
6,841
Signature
Bank
1,546,750
4,577
Simmons
First
National
Corporation
135,800
2,010
Southside
Bancshares,
Inc.
77,405
13,456
Starwood
Property
Trust,
Inc.
332,901
4,328
Sterling
Bancorp
99,631
1,403
Stifel
Financial
Corporation
89,876
13,562
Synovus
Financial
Corporation
620,461
5,745
T.
Rowe
Price
Group,
Inc.
985,842
2,952
Territorial
Bancorp,
Inc.
78,110
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
282
Shares
Common
Stock
(19.4%)
Value
Financials
(2.8%)
-
continued
3,137
TMX
Group,
Ltd.
$
325,981
134
Tompkins
Financial
Corporation
11,082
9,193
Torchmark
Corporation
888,320
3,319
Towne
Bank
100,898
17,646
TPG
RE
Finance
Trust,
Inc.
197,635
5,610
TriCo
Bancshares
265,746
6,348
Triumph
Bancorp,
Inc.
m
491,272
40,293
Truist
Financial
Corporation
2,349,888
20,008
TrustCo
Bank
Corporation
147,459
5,504
Trustmark
Corporation
185,265
27,520
Two
Harbors
Investment
Corporation
201,722
89,992
Umpqua
Holdings
Corporation
1,579,360
12,187
United
Bankshares,
Inc.
470,174
1,110
Universal
Insurance
Holdings,
Inc.
15,917
1,429
Univest
Financial
Corporation
40,855
51,346
Unum
Group
1,428,959
22,889
Valley
National
Bancorp
314,495
5,479
Voya
Financial,
Inc.
348,684
424
Walker
&
Dunlop,
Inc.
43,562
3,457
Washington
Trust
Bancorp,
Inc.
178,485
1,292
Webster
Financial
Corporation
71,202
130,211
Wells
Fargo
&
Company
5,087,344
6,165
WesBanco,
Inc.
222,310
338
Westamerica
Bancorporation
21,220
39,107
Western
Alliance
Bancorp
3,693,265
27,489
Western
Asset
Mortgage
Capital
Corporation
87,690
388
Westwood
Holdings
Group,
Inc.
5,610
13,469
Wintrust
Financial
Corporation
1,020,950
44,897
Zions
Bancorporations
NA
2,467,539
5,320
Zurich
Insurance
Group
AG
2,264,466
Total
158,501,650
Health
Care
(2.6%)
10,283
Abbott
Laboratories
1,232,315
14,241
AbbVie,
Inc.
1,541,161
46,776
ACADIA
Pharmaceuticals,
Inc.
m
1,206,821
812
Acceleron
Pharma,
Inc.
m
110,115
23,961
Adaptive
Biotechnologies
Corporation
m
964,670
2,758
ADMA
Biologics,
Inc.
j,m
4,854
4,853
Adverum
Biotechnologies,
Inc.
m
47,851
583
Align
Technology,
Inc.
m
315,712
429
Allakos,
Inc.
m
49,241
2,960
Altimmune,
Inc.
m
41,825
1,459
Amedisys,
Inc.
m
386,329
22,714
Amgen,
Inc.
5,651,470
5,526
AMN
Healthcare
Services,
Inc.
m
407,266
1,360
AnaptysBio,
Inc.
m
29,308
8,749
Anthem,
Inc.
3,140,454
50,379
Ardelyx,
Inc.
m
333,509
1,764
Arena
Pharmaceuticals,
Inc.
m
122,404
5,468
Argenx
SE
ADR
m
1,505,832
4,936
Arrowhead
Research
Corporation
m
327,306
9,637
Ascendis
Pharma
AS
ADR
m
1,242,017
3,281
Atara
Biotherapeutics,
Inc.
m
47,115
151
Atrion
Corporation
96,838
8,705
Axonics
Modulation
Technologies,
Inc.
m
521,342
6,006
Becton,
Dickinson
and
Company
1,460,359
5,622
Biogen,
Inc.
m
1,572,754
14,210
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
m
971,253
70
BioLife
Solutions,
Inc.
m
2,520
Shares
Common
Stock
(19.4%)
Value
Health
Care
(2.6%)
-
continued
362
Bio-Rad
Laboratories,
Inc.
m
$
206,764
5,691
Bio-Techne
Corporation
2,173,564
1,523
BioXcel
Therapeutics,
Inc.
j,m
65,733
1,256
Bruker
Corporation
80,736
13,214
Catalent,
Inc.
m
1,391,566
23,319
Centene
Corporation
m
1,490,317
41,789
Cerner
Corporation
3,003,793
4,121
Charles
River
Laboratories
International,
Inc.
m
1,194,389
1,139
Chemed
Corporation
523,735
12,593
Cigna
Holding
Company
3,044,232
480
Co-Diagnostics,
Inc.
j,m
4,579
219
Cooper
Companies,
Inc.
84,116
6,163
CryoLife,
Inc.
m
139,161
22,374
CVS
Health
Corporation
1,683,196
2,477
CytomX
Therapeutics,
Inc.
m
19,147
1,109
Danaher
Corporation
249,614
13,918
Dexcom,
Inc.
m
5,001,990
2,516
Editas
Medicine,
Inc.
j,m
105,672
39,795
Edwards
Lifesciences
Corporation
m
3,328,454
5,112
Envista
Holdings
Corporation
m
208,570
99
Fate
Therapeutics,
Inc.
m
8,163
32,504
GlaxoSmithKline
plc
ADR
j
1,160,068
1,306
Global
Blood
Therapeutics,
Inc.
m
53,219
34,933
GoodRx
Holdings,
Inc.
j,m
1,363,086
19,596
Guardant
Health,
Inc.
m
2,991,329
5,541
Haemonetics
Corporation
m
615,106
7,425
Halozyme
Therapeutics,
Inc.
m
309,548
12,164
HCA
Healthcare,
Inc.
2,290,968
3,205
HealthEquity,
Inc.
m
217,940
6,444
Hill-Rom
Holdings,
Inc.
711,933
8,269
Humana,
Inc.
3,466,778
41
ICU
Medical,
Inc.
m
8,423
3,913
Illumina,
Inc.
m
1,502,827
14,847
Immunocore
Holdings
plc
ADR
m
632,037
4,268
ImmunoGen,
Inc.
m
34,571
4,663
InMode,
Ltd.
m
337,461
3,212
Inspire
Medical
Systems,
Inc.
m
664,852
9,281
Insulet
Corporation
m
2,421,598
1,828
Integra
LifeSciences
Holdings
Corporation
m
126,297
5,481
Intuitive
Surgical,
Inc.
m
4,050,130
5,269
Invitae
Corporation
j,m
201,328
10,217
Ionis
Pharmaceuticals,
Inc.
m
459,356
8,134
IQVIA
Holding,
Inc.
m
1,571,001
1,225
iRhythm
Technologies,
Inc.
m
170,103
42,776
Johnson
&
Johnson
7,030,236
3,319
Kura
Oncology,
Inc.
m
93,828
1,633
Laboratory
Corporation
of
America
Holdings
m
416,464
2,320
Lannett
Company,
Inc.
m
12,250
11,502
Lantheus
Holdings,
Inc.
m
245,798
17,367
LHC
Group,
Inc.
m
3,320,744
54,612
Medtronic
plc
6,451,316
57,208
Merck
&
Company,
Inc.
4,410,165
567
Mettler-Toledo
International,
Inc.
m
655,276
332
Mirati
Therapeutics,
Inc.
m
56,872
4,719
Moderna,
Inc.
m
617,953
4,749
Molina
Healthcare,
Inc.
m
1,110,126
8,530
Natera,
Inc.
m
866,136
6,439
National
Healthcare
Corporation
501,662
1,922
Neogen
Corporation
m
170,847
13,802
Nevro
Corporation
m
1,925,379
3,793
Novavax,
Inc.
m
687,709
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
283
Shares
Common
Stock
(19.4%)
Value
Health
Care
(2.6%)
-
continued
33,040
Novo
Nordisk
AS
ADR
$
2,227,557
10,542
NuVasive,
Inc.
m
691,134
953
Olink
Holding
AB
ADR
m
34,308
2,253
Omnicell,
Inc.
m
292,597
21,532
OPKO
Health,
Inc.
m
92,372
1,185
Orthifix
Medical,
Inc.
m
51,370
1,029
Owens
&
Minor,
Inc.
38,680
1,838
Precigen,
Inc.
m
12,664
5,508
Premier,
Inc.
186,446
6,078
Pulmonx
Corporation
m
278,008
1,629
Quidel
Corporation
m
208,398
4,006
Reata
Pharmaceuticals,
Inc.
m
399,398
2,465
Repligen
Corporation
m
479,221
561
Replimune
Group,
Inc.
m
17,116
1,459
Sage
Therapeutics,
Inc.
m
109,206
3,874
Sarepta
Therapeutics,
Inc.
m
288,729
337
Seres
Therapeutics,
Inc.
m
6,939
9,722
Silk
Road
Medical,
Inc.
m
492,419
18,890
Stryker
Corporation
4,601,226
349
Surmodics,
Inc.
m
19,568
11,097
Syneos
Health,
Inc.
m
841,707
14,500
Tactile
Systems
Technology,
Inc.
m
790,105
12,972
Teladoc
Health,
Inc.
m
2,357,661
7,195
Teleflex,
Inc.
2,989,235
2,701
Tenet
Healthcare
Corporation
m
140,452
15,710
Thermo
Fisher
Scientific,
Inc.
7,169,730
6,311
Travere
Therapeutics,
Inc.
m
157,586
1,132
U.S.
Physical
Therapy,
Inc.
117,841
41
Ultragenyx
Pharmaceutical,
Inc.
m
4,668
1,241
United
Therapeutics
Corporation
m
207,582
7,291
UnitedHealth
Group,
Inc.
2,712,762
55,033
Vaxart,
Inc.
j,m
332,950
23,222
VBI
Vaccines,
Inc.
j,m
72,220
19,422
Veeva
Systems,
Inc.
m
5,073,803
41,610
Viatris,
Inc.
m
581,292
19,899
Viemed
Healthcare,
Inc.
m
201,378
2,666
ViewRay,
Inc.
m
11,597
992
Vocera
Communications,
Inc.
m
38,152
9,981
Vor
BioPharma,
Inc.
m
430,181
685
Waters
Corporation
m
194,656
5,471
Zimmer
Biomet
Holdings,
Inc.
875,798
38,025
Zoetis,
Inc.
5,988,177
15,988
Zymeworks,
Inc.
j,m
504,901
Total
143,594,642
Industrials
(2.3%)
4,733
Advanced
Drainage
Systems,
Inc.
489,345
7,787
AECOM
m
499,225
4,295
Allegion
plc
539,538
22,951
Altra
Industrial
Motion
Corporation
1,269,649
17,789
AMETEK,
Inc.
2,272,189
1,767
Apogee
Enterprises,
Inc.
72,235
1,819
Armstrong
World
Industries,
Inc.
163,874
24,609
ASGN,
Inc.
m
2,348,683
4,162
Axon
Enterprise,
Inc.
m
592,752
16,623
AZZ,
Inc.
836,968
16,154
Badger
Daylighting,
Ltd.
551,064
13,018
Blink
Charging
Company
j,m
535,040
8,114
Bloom
Energy
Corporation
m
219,484
3,688
Boeing
Company
m
939,407
13,619
Carlisle
Companies,
Inc.
2,241,415
21,115
CBIZ,
Inc.
m
689,616
15,839
Chart
Industries,
Inc.
m
2,254,682
155
Copart,
Inc.
m
16,834
2,651
CRA
International,
Inc.
197,871
Shares
Common
Stock
(19.4%)
Value
Industrials
(2.3%)
-
continued
20,168
Crane
Company
$
1,893,977
10,140
CSW
Industrials,
Inc.
1,368,900
15,254
CSX
Corporation
1,470,791
109
Cummins,
Inc.
28,243
21,266
Curtiss-Wright
Corporation
2,522,148
52,496
Delta
Air
Lines,
Inc.
m
2,534,507
990
Diamond
S
Shipping,
Inc.
m
9,930
1,932
Douglas
Dynamics,
Inc.
89,162
912
Dycom
Industries,
Inc.
m
84,679
9,549
Eaton
Corporation
plc
1,320,436
8,984
EMCOR
Group,
Inc.
1,007,645
14,053
Emerson
Electric
Company
1,267,862
2,309
Encore
Wire
Corporation
155,003
1,984
Expeditors
International
of
Washington,
Inc.
213,657
14,347
Forrester
Research,
Inc.
m
609,461
9,002
Forward
Air
Corporation
799,468
34,575
FuelCell
Energy,
Inc.
m
498,226
5,338
GATX
Corporation
495,046
6,839
Generac
Holdings,
Inc.
m
2,239,430
21,347
General
Dynamics
Corporation
3,875,761
6,999
Gorman-Rupp
Company
231,737
2,457
Greenbrier
Companies,
Inc.
116,019
2,722
Heico
Corporation
342,428
6,046
Helios
Technologies,
Inc.
440,572
27,010
Honeywell
International,
Inc.
5,863,061
100,931
Howmet
Aerospace,
Inc.
m
3,242,913
9,567
Hubbell,
Inc.
1,787,977
1,472
ICF
International,
Inc.
128,653
14,984
IDEX
Corporation
3,136,451
1,100
Illinois
Tool
Works,
Inc.
243,672
189
Insperity,
Inc.
15,827
1,467
International
Seaways,
Inc.
28,430
355
JB
Hunt
Transport
Services,
Inc.
59,665
9,077
JetBlue
Airways
Corporation
m
184,626
525
John
Bean
Technologies
Corporation
70,003
62,581
Johnson
Controls
International
plc
3,734,208
8,879
Kansas
City
Southern
2,343,346
792
Kimball
International,
Inc.
11,088
15,578
L3Harris
Technologies,
Inc.
3,157,349
9,831
Landstar
System,
Inc.
1,622,705
1,462
Lennox
International,
Inc.
455,545
22,585
Lincoln
Electric
Holdings,
Inc.
2,776,600
12,149
Lockheed
Martin
Corporation
4,489,055
10,978
Manpower,
Inc.
1,085,724
1,501
Masonite
International
Corporation
m
172,975
20,522
Mercury
Systems,
Inc.
m
1,449,879
38,140
Meritor,
Inc.
m
1,122,079
5,354
Mesa
Air
Group,
Inc.
m
72,011
15,892
Middleby
Corporation
m
2,634,099
11,679
MSC
Industrial
Direct
Company,
Inc.
1,053,329
10,208
NAPCO
Security
Technologies,
Inc.
m
355,545
1,376
Nordson
Corporation
273,384
13,164
Norfolk
Southern
Corporation
3,534,797
4,869
Northrop
Grumman
Corporation
1,575,803
7,144
Nutrien,
Ltd.
384,990
8,008
Old
Dominion
Freight
Line,
Inc.
1,925,203
13,461
Otis
Worldwide
Corporation
921,405
9,970
Parker-Hannifin
Corporation
3,144,837
37,148
Pitney
Bowes,
Inc.
306,099
2,368
Primoris
Services
Corporation
78,452
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
284
Shares
Common
Stock
(19.4%)
Value
Industrials
(2.3%)
-
continued
5,138
Quad/Graphics,
Inc.
m
$
18,137
8,663
Ranpak
Holdings
Corporation
m
173,780
13,875
Raven
Industries,
Inc.
531,829
24,754
Raytheon
Technologies
Corporation
1,912,742
2,001
RBC
Bearings,
Inc.
m
393,737
30,797
Regal-Beloit
Corporation
4,394,116
14,005
Ritchie
Brothers
Auctioneers,
Inc.
819,993
10,766
Rush
Enterprises,
Inc.
536,470
2,930
Ryder
System,
Inc.
221,654
1,793
Saia,
Inc.
m
413,430
3,586
Simpson
Manufacturing
Company,
Inc.
371,976
3,270
SkyWest,
Inc.
m
178,150
19,764
Smith
&
Wesson
Brands,
Inc.
344,882
1,779
Snap-On,
Inc.
410,486
8,689
Southwest
Airlines
Company
m
530,550
17,406
Spirit
Airlines,
Inc.
j,m
642,281
17,074
Standex
International
Corporation
1,631,762
1,489
Sterling
Construction
Company,
Inc.
m
34,545
22,702
Summit
Materials,
Inc.
m
636,110
8,891
Sun
Country
Airlines
Holdings,
Inc.
j,m
304,783
559
Sunrun,
Inc.
m
33,808
3,645
Technip
Energies
N.V.
ADR
m
54,566
1,360
Teledyne
Technologies,
Inc.
m
562,564
1,650
Tetra
Tech,
Inc.
223,938
2,010
Thermon
Group
Holdings,
Inc.
m
39,175
6,299
Timken
Company
511,290
83
Toro
Company
8,561
518
Trane
Technologies
plc
85,760
26,602
TransUnion
2,394,180
12,689
Trex
Company,
Inc.
m
1,161,551
17,678
TriMas
Corporation
m
535,997
11,769
Tutor
Perini
Corporation
m
223,022
1,030
UniFirst
Corporation
230,421
8,130
Union
Pacific
Corporation
1,791,933
13,999
United
Parcel
Service,
Inc.
2,379,690
19,016
United
Rentals,
Inc.
m
6,262,159
5,716
Valmont
Industries,
Inc.
1,358,522
4,295
Verisk
Analytics,
Inc.
758,884
2,789
Waste
Connections,
Inc.
301,156
3,798
Watsco,
Inc.
990,328
525
Watts
Water
Technologies,
Inc.
62,375
2,132
Welbilt,
Inc.
m
34,645
5,945
Werner
Enterprises,
Inc.
280,426
5,805
WESCO
International,
Inc.
m
502,307
6,409
Willdan
Group,
Inc.
m
263,089
3,710
Woodward,
Inc.
447,537
6,084
XPO
Logistics,
Inc.
m
750,157
2,805
Xylem,
Inc.
295,030
Total
130,831,228
Information
Technology
(4.5%)
1,855
3D
Systems
Corporation
m
50,901
7,717
Accenture
plc
2,131,821
19,304
Adobe,
Inc.
m
9,176,542
154
ADTRAN,
Inc.
2,569
2,751
Advanced
Energy
Industries,
Inc.
300,327
8,442
Agilysys,
Inc.
m
404,878
7,874
Alliance
Data
Systems
Corporation
882,597
1,794
Ambarella,
Inc.
m
180,100
37,657
Amphenol
Corporation
2,484,232
1,644
Analog
Devices,
Inc.
254,952
Shares
Common
Stock
(19.4%)
Value
Information
Technology
(4.5%)
-
continued
42,539
Anaplan,
Inc.
m
$
2,290,725
1,376
ANSYS,
Inc.
m
467,235
275,157
Apple,
Inc.
33,610,428
2,831
Aspen
Technology,
Inc.
m
408,598
6,090
Atlassian
Corporation
plc
m
1,283,528
4,584
Avalara,
Inc.
m
611,643
5,598
Axcelis
Technologies,
Inc.
m
230,022
19,020
Bandwidth,
Inc.
j,m
2,410,595
4,695
Belden,
Inc.
208,317
9,884
Benchmark
Electronics,
Inc.
305,613
37,190
BigCommerce
Holdings,
Inc.
j,m
2,149,582
1,952
Bill.com
Holdings,
Inc.
m
284,016
2,493
Blackline,
Inc.
m
270,241
216
Broadcom,
Ltd.
100,151
1,258
Broadridge
Financial
Solutions,
Inc.
192,600
343
CACI
International,
Inc.
m
84,604
13,907
Calix,
Inc.
m
482,017
8,018
CDK
Global,
Inc.
433,453
3,601
CDW
Corporation
596,866
1,417
Ceridian
HCM
Holding,
Inc.
m
119,411
11,480
Ciena
Corporation
m
628,186
116,743
Cisco
Systems,
Inc.
6,036,781
3,393
Cognex
Corporation
281,585
5,588
Computer
Services,
Inc.
329,692
536
Concentrix
Corporation
m
80,250
5,707
Coupa
Software,
Inc.
m
1,452,317
5,127
Cree,
Inc.
m
554,383
3,086
CTS
Corporation
95,851
5,353
Descartes
Systems
Group,
Inc.
m
326,051
5,203
Diebold
Nixdorf,
Inc.
m
73,518
8,894
DocuSign,
Inc.
m
1,800,590
23,633
Dolby
Laboratories,
Inc.
2,333,050
37
Domo,
Inc.
m
2,083
12,392
Dropbox,
Inc.
m
330,371
2,067
DSP
Group,
Inc.
m
29,455
31,582
Elastic
NV
m
3,511,918
6,229
Endava
plc
ADR
m
527,534
4,146
Enphase
Energy,
Inc.
m
672,315
3,345
EPAM
Systems,
Inc.
m
1,326,928
4,480
ePlus,
Inc.
m
446,387
13,620
Euronet
Worldwide,
Inc.
m
1,883,646
1,890
ExlService
Holdings,
Inc.
m
170,402
5,803
eXp
World
Holdings,
Inc.
m
264,327
3,695
F5
Networks,
Inc.
m
770,851
12,434
Fastly,
Inc.
j,m
836,560
5,284
First
Solar,
Inc.
m
461,293
4,571
Five9,
Inc.
m
714,584
4,120
FleetCor
Technologies,
Inc.
m
1,106,756
12,304
Global
Payments,
Inc.
2,480,240
5,661
Health
Catalyst,
Inc.
j,m
264,765
4,522
Intuit,
Inc.
1,732,197
140
IPG
Photonics
Corporation
m
29,532
8,166
Jack
Henry
&
Associates,
Inc.
1,238,946
2,131
KLA-Tencor
Corporation
704,082
3,254
Lam
Research
Corporation
1,936,911
9,390
Lattice
Semiconductor
Corporation
m
422,738
1,303
Littelfuse,
Inc.
344,565
7,369
LivePerson,
Inc.
m
388,641
20,776
Lumentum
Holdings,
Inc.
m
1,897,888
2,549
Manhattan
Associates,
Inc.
m
299,202
32,161
Mastercard,
Inc.
11,450,924
2,356
MAXIMUS,
Inc.
209,778
574
MaxLinear,
Inc.
m
19,562
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
285
Shares
Common
Stock
(19.4%)
Value
Information
Technology
(4.5%)
-
continued
65,012
Medallia,
Inc.
m
$
1,813,185
162,369
Microsoft
Corporation
38,281,739
64
MicroStrategy,
Inc.
m
43,443
13,876
MKS
Instruments,
Inc.
2,572,888
10,917
Monolithic
Power
Systems,
Inc.
3,855,994
4,968
Motorola
Solutions,
Inc.
934,232
8,898
National
Instruments
Corporation
384,260
349
NetApp,
Inc.
25,362
6,125
Nice,
Ltd.
ADR
m
1,335,066
2,229
Nova
Measuring
Instruments,
Ltd.
m
202,861
1,848
Novanta,
Inc.
m
243,733
29,845
Nuance
Communications,
Inc.
m
1,302,436
17,294
NVIDIA
Corporation
9,233,785
6,231
Okta,
Inc.
m
1,373,499
41,415
Oracle
Corporation
2,906,091
6,327
Palo
Alto
Networks,
Inc.
m
2,037,674
5,162
Paychex,
Inc.
505,979
2,870
Paylocity
Holding
Corporation
m
516,112
59,401
PayPal
Holdings,
Inc.
m
14,424,939
8,400
Plantronics,
Inc.
m
326,844
3,210
Plexus
Corporation
m
294,806
6,435
Plug
Power,
Inc.
m
230,630
975
Progress
Software
Corporation
42,958
3,597
Q2
Holdings,
Inc.
m
360,419
5,427
QAD,
Inc.
361,330
6,363
Qorvo,
Inc.
m
1,162,520
54,830
QUALCOMM,
Inc.
7,269,910
2,419
Rogers
Corporation
m
455,280
6,894
SailPoint
Technologies
Holdings,
Inc.
m
349,112
35,391
Salesforce.com,
Inc.
m
7,498,291
2,170
Samsung
Electronics
Company,
Ltd.
GDR
3,956,306
4,973
ScanSource,
Inc.
m
148,941
8,534
Semtech
Corporation
m
588,846
13,471
ServiceNow,
Inc.
m
6,736,982
16,780
Sierra
Wireless,
Inc.
j,m
247,841
2,398
Silicon
Laboratories,
Inc.
m
338,286
1,437
SiTime
Corporation
m
141,688
827
Solaredge
Technology,
Ltd.
m
237,713
6,435
Sprout
Social,
Inc.
m
371,686
39,636
Square,
Inc.
m
8,999,354
46,866
STMicroelectronics
NV
ADR
j
1,796,374
1,290
SunPower
Corporation
j,m
43,150
2,571
SYNNEX
Corporation
295,254
3,339
TE
Connectivity,
Ltd.
431,098
33,235
Texas
Instruments,
Inc.
6,281,083
1,044
Trade
Desk,
Inc.
m
680,333
28,185
TTM
Technologies,
Inc.
m
408,682
898
Tyler
Technologies,
Inc.
m
381,228
2,767
Unisys
Corporation
m
70,337
1,554
ViaSat,
Inc.
j,m
74,701
7,791
Visa,
Inc.
1,649,588
5,493
VMware,
Inc.
j,m
826,422
779
Western
Union
Company
19,210
9,322
Workiva,
Inc.
m
822,760
8,361
Xerox
Holdings
Corporation
202,921
7,184
Zscaler,
Inc.
m
1,233,277
Total
250,205,638
Materials
(0.6%)
1,751
AdvanSix,
Inc.
m
46,962
9,152
Allegheny
Technologies,
Inc.
m
192,741
5,924
AptarGroup,
Inc.
839,253
2,494
Avery
Dennison
Corporation
458,023
Shares
Common
Stock
(19.4%)
Value
Materials
(0.6%)
-
continued
57,857
Axalta
Coating
Systems,
Ltd.
m
$
1,711,410
293
Balchem
Corporation
36,745
5,105
Ball
Corporation
432,598
4,401
Cabot
Corporation
230,788
12,231
Carpenter
Technology
Corporation
503,306
2,073
Celanese
Corporation
310,556
55,372
CF
Industries
Holdings,
Inc.
2,512,781
13,228
Chemours
Company
369,193
12,017
Cleveland-Cliffs,
Inc.
j
241,662
26,257
Coeur
Mining,
Inc.
m
237,101
2,634
Eagle
Materials,
Inc.
354,036
28,346
Eastman
Chemical
Company
3,121,462
6,455
Ecolab,
Inc.
1,381,822
23,835
Element
Solutions,
Inc.
435,942
19,660
Ferroglobe
Representation
&
Warranty
Insurance
Trust
e,m
2
2,728
FMC
Corporation
301,744
3,955
Ingevity
Corporation
m
298,721
13,069
Innospec,
Inc.
1,342,056
48,981
Ivanhoe
Mines,
Ltd.
m
252,174
11,717
Kaiser
Aluminum
Corporation
1,294,728
1,303
Koppers
Holdings,
Inc.
m
45,292
10,013
LyondellBasell
Industries
NV
1,041,853
12,048
Martin
Marietta
Materials,
Inc.
4,045,959
4,099
Materion
Corporation
271,518
5,788
Minerals
Technologies,
Inc.
435,952
13,277
Myers
Industries,
Inc.
262,354
8,302
Neenah,
Inc.
426,557
156
NewMarket
Corporation
59,305
32,396
Nucor
Corporation
2,600,427
1,917
O-I
Glass,
Inc.
m
28,257
11,412
Olin
Corporation
433,314
1,780
Olympic
Steel,
Inc.
52,421
208
PPG
Industries,
Inc.
31,254
7,176
Quaker
Chemical
Corporation
1,749,294
398
Reliance
Steel
&
Aluminum
Company
60,611
1,788
RPM
International,
Inc.
164,228
7,926
Ryerson
Holding
Corporation
m
135,059
768
Scotts
Miracle-Gro
Company
188,137
8,334
Sensient
Technologies
Corporation
650,052
14,069
Steel
Dynamics,
Inc.
714,142
12,758
SunCoke
Energy,
Inc.
89,434
6,432
UFP
Technologies,
Inc.
m
320,442
3,141
United
States
Lime
&
Minerals,
Inc.
419,983
2,291
United
States
Steel
Corporation
j
59,955
6,406
W.
R.
Grace
&
Company
383,463
Total
31,575,069
Real
Estate
(0.9%)
32,772
Agree
Realty
Corporation
2,205,883
2,202
Alexandria
Real
Estate
Equities,
Inc.
361,789
39,138
American
Campus
Communities,
Inc.
1,689,587
1,533
Apartment
Income
REIT
Corporation
65,551
36,094
Apartment
Investment
&
Management
Company
221,617
5,903
Armada
Hoffler
Properties,
Inc.
74,024
6,434
AvalonBay
Communities,
Inc.
1,187,137
530
Bluegreen
Vacations
Holding
Corporations
m
9,826
21,313
Camden
Property
Trust
2,342,512
23,120
CareTrust
REIT,
Inc.
538,349
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
286
Shares
Common
Stock
(19.4%)
Value
Real
Estate
(0.9%)
-
continued
41,277
CBRE
Group,
Inc.
m
$
3,265,423
4,652
Cedar
Realty
Trust,
Inc.
69,315
1,486
Centerspace
101,048
4,080
Colliers
International
Group,
Inc.
400,819
5,378
Colony
Credit
Real
Estate,
Inc.
45,821
3,240
Community
Healthcare
Trust,
Inc.
149,429
3,472
Corepoint
Lodging,
Inc.
m
31,352
2,448
CoStar
Group,
Inc.
m
2,011,987
3,304
CubeSmart
124,990
24,297
Cushman
and
Wakefield
plc
m
396,527
2,157
Digital
Realty
Trust,
Inc.
303,792
4,494
Diversified
Healthcare
Trust
21,481
7,458
Douglas
Emmett,
Inc.
234,181
7,071
Duke
Realty
Corporation
296,487
6,738
EastGroup
Properties,
Inc.
965,421
10,413
EPR
Properties
485,142
63,164
Essential
Properties
Realty
Trust,
Inc.
1,442,034
1,205
Essex
Property
Trust,
Inc.
327,567
2,892
Extra
Space
Storage,
Inc.
383,335
4,729
Farmland
Partners,
Inc.
53,012
42,044
First
Industrial
Realty
Trust,
Inc.
1,925,195
2,641
FirstService
Corporation
391,370
48,015
Four
Corners
Property
Trust,
Inc.
1,315,611
1,605
Gaming
and
Leisure
Properties,
Inc.
68,100
5,700
Getty
Realty
Corporation
161,424
2,508
Gladstone
Commercial
Corporation
49,057
8,950
Gladstone
Land
Corporation
163,785
3,276
Global
Medical
REIT,
Inc.
42,948
11,304
Healthcare
Realty
Trust,
Inc.
342,737
32,327
Healthcare
Trust
of
America,
Inc.
891,579
962
Highwoods
Properties,
Inc.
41,308
82,348
Host
Hotels
&
Resorts,
Inc.
m
1,387,564
16,456
Independence
Realty
Trust,
Inc.
250,131
12,923
Industrial
Logistics
Properties
Trust
298,909
5,909
Innovative
Industrial
Properties,
Inc.
1,064,565
1,557
Iron
Mountain,
Inc.
57,625
3,812
Jones
Lang
LaSalle,
Inc.
m
682,500
29,513
Kilroy
Realty
Corporation
1,936,938
6,769
Lexington
Realty
Trust
75,204
8,607
Life
Storage,
Inc.
739,772
36,984
Medical
Properties
Trust,
Inc.
787,020
60,327
MGIC
Investment
Corporation
835,529
1,016
National
Health
Investors,
Inc.
73,436
20,632
National
Retail
Properties,
Inc.
909,252
62,268
National
Storage
Affiliates
Trust
2,486,361
66,193
New
Residential
Investment
Corporation
744,671
6,688
New
Senior
Investment
Group,
Inc.
41,666
4,517
NexPoint
Residential
Trust,
Inc.
208,189
8,529
Omega
Healthcare
Investors,
Inc.
312,417
3,947
One
Liberty
Properties,
Inc.
87,900
1,025
Plymouth
Industrial
REIT,
Inc.
17,271
6,745
Preferred
Apartment
Communities,
Inc.
66,438
7,122
Public
Storage,
Inc.
1,757,425
4,693
Rayonier,
Inc.
REIT
151,349
17,027
Realty
Income
Corporation
1,081,215
3,254
Redfin
Corporation
m
216,684
39,957
Rexford
Industrial
Realty,
Inc.
2,013,833
593
RMR
Group,
Inc.
24,200
27,245
Sabra
Health
Care
REIT,
Inc.
472,973
4,602
SBA
Communications
Corporation
1,277,285
Shares
Common
Stock
(19.4%)
Value
Real
Estate
(0.9%)
-
continued
100,931
Service
Properties
Trust
$
1,197,042
4,782
SL
Green
Realty
Corporation
334,692
10,537
Spirit
Realty
Capital,
Inc.
447,823
13,495
STAG
Industrial,
Inc.
453,567
11,999
Store
Capital
Corporation
401,967
31,617
Sunstone
Hotel
Investors,
Inc.
m
393,948
17,239
UDR,
Inc.
756,103
3,085
UMH
Properties,
Inc.
59,139
60
Universal
Health
Realty
Income
Trust
4,067
2,694
WP
Carey,
Inc.
190,627
Total
49,495,849
Utilities
(0.3%)
11,640
AES
Corporation
312,068
3,109
ALLETE,
Inc.
208,894
10,232
Alliant
Energy
Corporation
554,165
11,957
American
Electric
Power
Company,
Inc.
1,012,758
2,222
American
States
Water
Company
168,028
56
American
Water
Works
Company,
Inc.
8,395
4,918
Artesian
Resources
Corporation
193,671
6,356
Black
Hills
Corporation
424,390
17,301
CenterPoint
Energy,
Inc.
391,868
509
Chesapeake
Utilities
Corporation
59,085
4,349
Consolidated
Water
Company,
Ltd.
58,494
2,292
DTE
Energy
Company
305,157
23,395
Duke
Energy
Corporation
2,258,319
19,981
Entergy
Corporation
1,987,510
1,508
Essential
Utilities,
Inc.
67,483
5,017
Evergy,
Inc.
298,662
33,686
Exelon
Corporation
1,473,426
60,288
FirstEnergy
Corporation
2,091,391
2,719
Hawaiian
Electric
Industries,
Inc.
120,805
1,476
IDACORP,
Inc.
147,556
3,825
MDU
Resources
Group,
Inc.
120,908
1,809
National
Fuel
Gas
Company
90,432
2,955
New
Jersey
Resources
Corporation
117,816
364
NiSource,
Inc.
8,776
1,566
Northwest
Natural
Holding
Company
84,486
4,818
NorthWestern
Corporation
314,133
24,042
OGE
Energy
Corporation
777,999
2,562
Otter
Tail
Corporation
118,287
897
Pinnacle
West
Capital
Corporation
72,971
5,363
Portland
General
Electric
Company
254,582
932
PPL
Corporation
26,879
4,040
Sempra
Energy
535,623
2,799
Southwest
Gas
Holdings,
Inc.
192,319
5,908
Spire,
Inc.
436,542
14,095
UGI
Corporation
578,036
2,468
Unitil
Corporation
112,763
6,138
WEC
Energy
Group,
Inc.
574,455
Total
16,559,132
Total
Common
Stock
(cost
$705,825,354)
1,085,678,041
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
287
Shares
Collateral
Held
for
Securities
Loaned
(
0.4%
)
Value
23,573,000
Thrivent
Cash
Management
Trust
$
23,573,000
Total
Collateral
Held
for
Securities
Loaned
(cost
$23,573,000)
23,573,000
Shares
or
Principal
Amount
Short-Term
Investments
(
15.3%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
9,200,000
0.084%,
4/7/2021
n,o
9,200,000
4,900,000
0.085%,
4/8/2021
n,o
4,900,000
100,000
0.025%,
4/16/2021
n
100,000
3,500,000
0.040%,
5/4/2021
n,o
3,499,968
600,000
0.030%,
5/6/2021
n,o
599,994
1,300,000
0.040%,
5/12/2021
n,o
1,299,985
2,700,000
0.030%,
5/13/2021
n,o
2,699,968
5,900,000
0.021%,
5/18/2021
n,o
5,899,923
700,000
0.038%,
5/19/2021
n,o
699,991
1,300,000
0.035%,
6/2/2021
n,o
1,299,955
1,600,000
0.020%,
6/16/2021
n,o
1,599,932
100,000
0.014%,
6/23/2021
n,o
99,995
Thrivent
Core
Short-Term
Reserve
Fund
81,632,981
0.180%
816,329,811
U.S.
Treasury
Bills
1,000,000
0.018%,
4/15/2021
n,p
999,995
1,200,000
0.022%,
4/20/2021
n,p
1,199,989
1,600,000
0.028%,
4/22/2021
n,p
1,599,991
4,150,000
0.048%,
8/26/2021
n,p
4,149,619
Total
Short-Term
Investments
(cost
$855,998,798)
856,179,116
Contracts
Options
Purchased
(
<0.1%
)
Value
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
206
$132.50,
expires
5/21/2021
399,125
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
200
$160.00,
expires
5/21/2021
1,175,000
Total
Options
Purchased
(cost
$782,498)
1,574,125
Total
Investments
(cost
$5,406,300,886)
109.4%
$6,137,403,421
Other
Assets
and
Liabilities,
Net
(9.4%)
(528,671,630)
Total
Net
Assets
100.0%
$5,608,731,791
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
March
31,
2021.
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
All
or
a
portion
of
the
loan
is
unfunded.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
f
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
March
31,
2021.
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
March
31,
2021,
the
value
of
these
investments
was
$327,959,541
or
5.8%
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
March
31,
2021.
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
on
loan.
k
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
l
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
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.
p
At
March
31,
2021,
$4,839,707
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
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
4,941,876
Common
Stock
18,025,752
Total
lending
$22,967,628
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$23,573,000
Net
amounts
due
to
counterparty
$605,372
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
288
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
FNMA
-
Federal
National
Mortgage
Association
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.
PIK
-
Payment-In-Kind
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
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
289
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
6,391,536
6,391,536
Capital
Goods
15,195,286
15,195,286
Communications
Services
23,014,903
23,014,903
Consumer
Cyclical
18,053,900
18,053,900
Consumer
Non-Cyclical
20,425,862
20,259,212
166,650
Energy
1,526,115
1,526,115
Financials
6,554,073
6,554,073
Technology
10,102,996
10,102,996
Transportation
5,701,451
5,701,451
Utilities
5,432,908
5,432,908
Long-Term
Fixed
Income
Asset-Backed
Securities
122,844,418
122,844,418
Basic
Materials
23,502,944
23,502,944
Capital
Goods
35,051,114
35,051,114
Collateralized
Mortgage
Obligations
78,422,936
69,622,936
8,800,000
Commercial
Mortgage-Backed
Securities
12,381,445
12,381,445
Communications
Services
64,092,268
63,900,189
192,079
Consumer
Cyclical
55,374,015
55,374,015
Consumer
Non-Cyclical
75,724,905
75,724,905
Energy
55,891,757
55,891,757
Financials
121,790,644
121,790,644
Mortgage-Backed
Securities
620,698,045
620,698,045
Technology
41,582,382
41,582,382
Transportation
11,469,401
11,469,401
U.S.
Government
&
Agencies
700,905,025
700,905,025
Utilities
39,300,370
39,300,370
Registered
Investment
Companies
Unaffiliated
51,075,018
51,075,018
Affiliated
1,554,845,922
1,554,845,922
Common
Stock
Communications
Services
92,640,934
92,557,828
83,106
Consumer
Discretionary
157,845,634
157,845,634
Consumer
Staples
28,624,240
28,624,240
Energy
25,804,025
25,804,025
Financials
158,501,650
155,909,975
2,590,447
1,228
Health
Care
143,594,642
143,594,642
Industrials
130,831,228
130,280,164
551,064
Information
Technology
250,205,638
246,249,332
3,956,306
Materials
31,575,069
31,322,893
252,174
2
Real
Estate
49,495,849
49,495,849
Utilities
16,559,132
16,559,132
Short-Term
Investments
39,849,305
39,849,305
Options
Purchased
1,574,125
1,574,125
Subtotal
Investments
in
Securities
$4,904,453,110
$2,685,738,779
$2,209,554,372
$9,159,959
Other
Investments  *
Total
Affiliated
Short-Term
Investments
816,329,811
Affiliated
Registered
Investment
Companies
393,047,500
Collateral
Held
for
Securities
Loaned
23,573,000
Subtotal
Other
Investments
$1,232,950,311
Total
Investments
at
Value
$6,137,403,421
*
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.  
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
290
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
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
16,181,561
16,181,561
Total
Asset
Derivatives
$16,181,561
$16,181,561
$–
$–
Liability
Derivatives
Futures
Contracts
8,114,769
8,114,769
Call
Options
Written
564,167
511,406
52,761
Total
Liability
Derivatives
$8,678,936
$8,626,175
$–
$52,761
The
following
table
presents
Moderately
Conservative
Allocation
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$27,499,725
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
208
June
2021
$
45,957,263
(
$
46,139)
CBOT
5-Yr.
U.S.
Treasury
Note
971
June
2021
121,354,784
(
1,534,899)
CBOT
U.S.
Long
Bond
740
June
2021
119,546,741
(
5,147,366)
CME
E-mini
S&P
500
Index
1,206
June
2021
235,608,273
3,625,948
ICE
US
mini
MSCI
Emerging
Markets
Index
138
June
2021
9,197,270
(
72,020)
Ultra
10-Yr.
U.S.
Treasury
Note
89
June
2021
13,239,732
(
451,544)
Total
Futures
Long
Contracts
$
544,904,063
(
$
3,626,020)
CBOT
10-Yr.
U.S.
Treasury
Note
(432)
June
2021
(
$
57,987,861)
$
1,422,861
CME
E-mini
Russell
2000
Index
(1,099)
June
2021
(
128,760,924)
6,634,549
CME
E-mini
S&P
Mid-Cap
400
Index
(401)
June
2021
(
106,042,001)
1,569,471
CME
Euro
Foreign
Exchange
Currency
(227)
June
2021
(
33,888,598)
570,673
CME
Ultra
Long
Term
U.S.
Treasury
Bond
(128)
June
2021
(
24,880,575)
1,684,575
Eurex
Euro
STOXX
50
Index
(736)
June
2021
(
32,556,828)
(
862,801)
ICE
mini
MSCI
EAFE
Index
(689)
June
2021
(
76,187,884)
673,484
Total
Futures
Short
Contracts
(
$
460,304,671)
$11,692,812
Total
Futures
Contracts
$
84,599,392
$8,066,792
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
291
Counterparty:
CCM
-
CCM
Futures,
LLC
JPM
-
J.P.
Morgan
MSC
-
Morgan
Stanley
&
Company
The
following
table
presents
Moderately
Conservative
Allocation
Portfolio's
options
contracts
held
as
of
March
31,
2021.
Option
_
Description                              
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
206.00
$
132.50
May
2021
26,973,125
$
399,125
$
179,731
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
200.00
160.00
May
2021
30,918,750
1,175,000
611,896
Total
Options
Purchased
Contracts
$1,574,125
$791,627
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(26.25)
$
102.72
April
2021
(26,200,781)
(
$
26)
$
143,529
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
JPM
(25.00)
100.83
May
2021
(24,907,227)
(
52,735)
94,726
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Put
on
10-Yr.
U.S.
Treasury
Note
Futures
MSC
(206.00)
130.50
May
2021
(26,973,125)
(
177,031)
(
68,113)
Put
on
30-Yr.
U.S.
Treasury
Bond
Futures
CCM
(200.00)
153.00
May
2021
(30,918,750)
(
334,375)
(
147,479)
Total
Options
Written
Contracts
($564,167)
$22,663
(*)  Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
292
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$198,466
$3,000
$–
$187,976
19,439
3.3%
Core
Emerging
Markets
Equity
42,572
44,305
3,611
0.8
Core
International
Equity
55,122
57,088
5,619
1.0
Core
Low
Volatility
Equity
171,686
71,000
103,678
7,975
1.8
Global
Stock
49,223
51,842
3,478
0.9
High
Yield
143,151
1,648
143,642
31,030
2.6
Income
469,539
3,264
451,621
41,326
8.0
International
Allocation
182,193
189,879
17,979
3.4
International
Index
20,003
20,670
1,581
0.4
Large
Cap
Value
207,208
235,427
10,803
4.2
Limited
Maturity
Bond
256,404
1,038
256,285
25,478
4.6
Mid
Cap
Stock
122,036
133,707
5,379
2.4
Small
Cap
Stock
62,851
71,773
3,003
1.3
Total
Affiliated
Registered
Investment
Companies
1,980,454
1,947,893
34.7
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
721,840
338,035
243,545
816,330
81,633
14.6
Total
Affiliated
Short-Term
Investments
721,840
816,330
14.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
26,089
150,139
152,655
23,573
23,573
0.4
Total
Collateral
Held
for
Securities
Loaned
26,089
23,573
0.4
Total
Value
$2,728,383
$2,787,796
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$(13,490)
$2,041
Core
Emerging
Markets
Equity
1,733
Core
International
Equity
1,967
Core
Low
Volatility
Equity
5,392
(2,400)
Global
Stock
2,620
High
Yield
(1,157)
1,645
Income
(21,182)
3,265
International
Allocation
7,686
International
Index
667
Large
Cap
Value
28,219
Limited
Maturity
Bond
(1,157)
1,038
Mid
Cap
Stock
11,671
Small
Cap
Stock
8,923
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
(75)
75
338
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$8,327
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
21
Total
Affiliated
Income
from
Securities
Loaned,
Net
$21
Total
Value
$5,317
$24,175
$–
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
293
Principal
Amount
Long-Term
Fixed
Income
(
52.9%
)
Value
Basic
Materials
(2.0%)
Alcoa
Nederland
Holding
BV
$
30,000
5.500%, 
12/15/2027
a
$
32,292
BWAY
Holding
Company
30,000
5.500%, 
4/15/2024
a
30,412
Chemours
Company
20,000
5.750%, 
11/15/2028
a
21,058
Cleveland-Cliffs,
Inc.
20,000
5.875%, 
6/1/2027
20,700
15,000
4.625%, 
3/1/2029
a
14,974
15,000
4.875%, 
3/1/2031
a
14,963
Consolidated
Energy
Finance
SA
25,000
6.875%, 
6/15/2025
a
25,469
First
Quantum
Minerals,
Ltd.
35,000
7.250%, 
4/1/2023
a
35,613
10,000
7.500%, 
4/1/2025
a
10,325
Freeport-McMoRan,
Inc.
30,000
4.125%, 
3/1/2028
31,536
30,000
4.250%, 
3/1/2030
31,950
10,000
4.625%, 
8/1/2030
10,882
Hecla
Mining
Company
10,000
7.250%, 
2/15/2028
10,725
Hudbay
Minerals,
Inc.
30,000
4.500%, 
4/1/2026
a
31,179
Ingevity
Corporation
30,000
3.875%, 
11/1/2028
a
29,100
Kraton
Polymers,
LLC
30,000
4.250%, 
12/15/2025
a
30,113
Mercer
International,
Inc.
30,000
5.125%, 
2/1/2029
a
31,080
Novelis
Corporation
50,000
4.750%, 
1/30/2030
a
51,535
OCI
NV
30,000
4.625%, 
10/15/2025
a
31,013
Olin
Corporation
45,000
5.125%, 
9/15/2027
46,575
Tronox
Finance
plc
15,000
5.750%, 
10/1/2025
a
15,647
United
States
Steel
Corporation
40,000
6.875%, 
3/1/2029
40,900
Venator
Finance
SARL
30,000
5.750%, 
7/15/2025
a
29,100
Total
627,141
Capital
Goods
(3.2%)
AECOM
45,000
5.125%, 
3/15/2027
48,966
Amsted
Industries,
Inc.
30,000
5.625%, 
7/1/2027
a
31,837
Ardagh
Packaging
Finance
plc
35,000
6.000%, 
2/15/2025
a
36,067
20,000
5.250%, 
8/15/2027
a
20,402
Bombardier,
Inc.
25,000
7.500%, 
3/15/2025
a
24,594
25,000
7.875%, 
4/15/2027
a
24,517
Brand
Industrial
Services,
Inc.
15,000
8.500%, 
7/15/2025
a
15,117
BWAY
Holding
Company
30,000
7.250%, 
4/15/2025
a
30,000
Chart
Industries,
Inc.,
Convertible
8,000
1.000%, 
11/15/2024
a
19,855
Cornerstone
Building
Brands,
Inc.
40,000
6.125%, 
1/15/2029
a
42,600
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Capital
Goods
(3.2%)
-
continued
Covanta
Holding
Corporation
$
30,000
6.000%, 
1/1/2027
$
31,312
5,000
5.000%, 
9/1/2030
5,050
CP
Atlas
Buyer,
Inc.
25,000
7.000%, 
12/1/2028
a
26,276
Crown
Cork
&
Seal
Company,
Inc.
40,000
7.375%, 
12/15/2026
48,150
Fortive
Corporation,
Convertible
10,000
0.875%, 
2/15/2022
10,137
General
Electric
Company
100,000
3.514%, 
(LIBOR
3M
+
3.330%),
6/15/2021
b,c
94,500
GFL
Environmental,
Inc.
10,000
4.000%, 
8/1/2028
a
9,675
25,000
3.500%, 
9/1/2028
a
24,250
Greenbrier
Companies,
Inc.,
Convertible
3,000
2.875%, 
2/1/2024
3,263
H&E
Equipment
Services,
Inc.
20,000
3.875%, 
12/15/2028
a
19,450
Howmet
Aerospace,
Inc.
20,000
6.875%, 
5/1/2025
23,175
Jeld-Wen
,
Inc.
30,000
4.625%, 
12/15/2025
a
30,375
KBR,
Inc.,
Convertible
23,000
2.500%, 
11/1/2023
36,268
Meritor,
Inc.
20,000
4.500%, 
12/15/2028
a
20,060
NESCO
Holdings
II,
Inc.
10,000
5.500%, 
4/15/2029
a,d
10,258
Owens-Brockway
Glass
Container,
Inc.
20,000
5.875%, 
8/15/2023
a
21,425
Patrick
Industries,
Inc.,
Convertible
4,000
1.000%, 
2/1/2023
4,665
SRM
Escrow
Issuer,
LLC
30,000
6.000%, 
11/1/2028
a
31,440
Standard
Industries,
Inc.
40,000
4.375%, 
7/15/2030
a
40,360
Titan
Acquisition,
Ltd.
10,000
7.750%, 
4/15/2026
a
10,387
TransDigm
,
Inc.
20,000
6.250%, 
3/15/2026
a
21,204
75,000
5.500%, 
11/15/2027
77,635
10,000
4.625%, 
1/15/2029
a
9,861
United
Rentals
North
America,
Inc.
15,000
5.500%, 
5/15/2027
15,998
40,000
4.875%, 
1/15/2028
42,135
20,000
4.000%, 
7/15/2030
20,355
Waste
Pro
USA,
Inc.
15,000
5.500%, 
2/15/2026
a
15,356
WESCO
Distribution,
Inc.
30,000
7.250%, 
6/15/2028
a
33,492
Total
1,030,467
Collateralized
Mortgage
Obligations
(0.3%)
GMACM
Mortgage
Loan
Trust
28,085
3.627%, 
11/19/2035,
Ser.
2005-AR6,
Class
1A1
b
27,897
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
294
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Collateralized
Mortgage
Obligations
(0.3%)
-
continued
Residential
Accredit
Loans,
Inc.
Trust
$
61,233
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
$
59,336
Total
87,233
Communications
Services
(4.6%)
AMC
Networks,
Inc.
40,000
4.250%, 
2/15/2029
38,900
CCO
Holdings,
LLC
55,000
5.500%, 
5/1/2026
a
56,721
10,000
5.125%, 
5/1/2027
a
10,573
85,000
4.500%, 
8/15/2030
a
86,632
Cengage
Learning,
Inc.
40,000
9.500%, 
6/15/2024
a
40,750
Clear
Channel
Worldwide
Holdings,
Inc.
35,000
7.750%, 
4/15/2028
a
34,615
Consolidated
Communications,
Inc.
20,000
5.000%, 
10/1/2028
a
20,156
CSC
Holdings,
LLC
20,000
5.375%, 
2/1/2028
a
21,025
50,000
4.125%, 
12/1/2030
a
49,664
Cumulus
Media
New
Holdings,
Inc.
20,000
6.750%, 
7/1/2026
a
20,375
DISH
DBS
Corporation
20,000
7.375%, 
7/1/2028
20,981
Embarq
Corporation
15,000
7.995%, 
6/1/2036
17,283
Entercom
Media
Corporation
20,000
6.500%, 
5/1/2027
a
20,675
Front
Range
BidCo
,
Inc.
30,000
4.000%, 
3/1/2027
a
29,475
25,000
6.125%, 
3/1/2028
a
25,656
Frontier
Communications
Corporation
20,000
5.875%, 
10/15/2027
a
21,200
10,000
6.750%, 
5/1/2029
a
10,547
GCI,
LLC
20,000
4.750%, 
10/15/2028
a
20,475
Hughes
Satellite
Systems
Corporation
20,000
6.625%, 
8/1/2026
22,162
iHeartCommunications
,
Inc.
25,000
4.750%, 
1/15/2028
a
25,187
LCPR
Senior
Secured
Financing
DAC
20,000
6.750%, 
10/15/2027
a
21,323
Level
3
Financing,
Inc.
65,000
4.625%, 
9/15/2027
a
66,896
40,000
4.250%, 
7/1/2028
a
40,452
Ligado
Networks,
LLC
15,000
0.000%,PIK
15.500%,
11/1/2023
a,e,f
14,055
Meredith
Corporation
20,000
6.500%, 
7/1/2025
a
21,458
Netflix,
Inc.
60,000
4.875%, 
4/15/2028
67,875
Nexstar
Escrow
Corporation
40,000
5.625%, 
7/15/2027
a
41,925
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Communications
Services
(4.6%)
-
continued
Nielsen
Finance,
LLC
$
20,000
5.625%, 
10/1/2028
a
$
21,025
Radiate
Holdco,
LLC
15,000
6.500%, 
9/15/2028
a
15,839
Scripps
Escrow
II,
Inc.
20,000
3.875%, 
1/15/2029
a
19,650
15,000
5.375%, 
1/15/2031
a
14,887
SFR
Group
SA
50,000
7.375%, 
5/1/2026
a
52,005
Sinclair
Television
Group,
Inc.
30,000
5.500%, 
3/1/2030
a
29,175
Sirius
XM
Radio,
Inc.
15,000
5.000%, 
8/1/2027
a
15,736
30,000
4.125%, 
7/1/2030
a
30,034
Sprint
Capital
Corporation
20,000
6.875%, 
11/15/2028
25,219
10,000
8.750%, 
3/15/2032
14,788
Sprint
Corporation
75,000
7.625%, 
2/15/2025
89,438
Terrier
Media
Buyer,
Inc.
20,000
8.875%, 
12/15/2027
a
21,521
T-Mobile
USA,
Inc.
55,000
2.875%, 
2/15/2031
53,158
United
States
Cellular
Corporation
20,000
6.700%, 
12/15/2033
24,224
Uniti
Group,
LP
15,000
6.500%, 
2/15/2029
a
14,813
Univision
Communications,
Inc.
40,000
6.625%, 
6/1/2027
a
42,717
Viacom,
Inc.
44,000
5.875%, 
2/28/2057
b
44,718
ViaSat
,
Inc.
30,000
5.625%, 
9/15/2025
a
30,494
VTR
Finance
NV
10,000
6.375%, 
7/15/2028
a
10,800
Ziggo
BV
40,000
5.500%, 
1/15/2027
a
41,650
Total
1,478,927
Consumer
Cyclical
(6.1%)
1011778
B.C.,
ULC
45,000
4.375%, 
1/15/2028
a
45,212
Allied
Universal
Holdco,
LLC
30,000
6.625%, 
7/15/2026
a
31,814
Allison
Transmission,
Inc.
35,000
4.750%, 
10/1/2027
a
37,198
American
Axle
&
Manufacturing,
Inc.
40,000
6.500%, 
4/1/2027
g
41,500
Bloomin
'
Brands,
Inc.,
Convertible
7,000
5.000%, 
5/1/2025
a
16,896
Booking
Holdings,
Inc.,
Convertible
2,000
0.900%, 
9/15/2021
2,344
Brookfield
Residential
Properties,
Inc.
50,000
6.250%, 
9/15/2027
a
52,187
Burlington
Stores,
Inc.,
Convertible
24,000
2.250%, 
4/15/2025
a
36,045
Caesars
Entertainment,
Inc.
10,000
8.125%, 
7/1/2027
a
11,027
Carnival
Corporation
30,000
11.500%, 
4/1/2023
a
34,387
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
295
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Consumer
Cyclical
(6.1%)
-
continued
$
20,000
10.500%, 
2/1/2026
a
$
23,525
10,000
7.625%, 
3/1/2026
a
10,743
30,000
5.750%, 
3/1/2027
a
30,787
Cedar
Fair,
LP
25,000
5.250%, 
7/15/2029
25,697
Cinemark
USA,
Inc.
30,000
5.875%, 
3/15/2026
a
30,718
Clarios
Global,
LP
15,000
8.500%, 
5/15/2027
a
16,144
Colt
Merger
Sub,
Inc.
45,000
6.250%, 
7/1/2025
a
47,971
Dana,
Inc.
30,000
5.625%, 
6/15/2028
32,100
Dick's
Sporting
Goods,
Inc.,
Convertible
10,000
3.250%, 
4/15/2025
a
22,912
Empire
Communities
Corporation
30,000
7.000%, 
12/15/2025
a
31,612
Expedia
Group,
Inc.,
Convertible
18,000
Zero
Coupon, 
2/15/2026
a
19,647
Ford
Motor
Company
10,000
9.000%, 
4/22/2025
12,111
10,000
9.625%, 
4/22/2030
13,955
30,000
7.450%, 
7/16/2031
37,825
Ford
Motor
Company,
Convertible
65,000
Zero
Coupon, 
3/15/2026
a
65,650
Ford
Motor
Credit
Company,
LLC
70,000
4.063%, 
11/1/2024
73,433
60,000
4.134%, 
8/4/2025
62,755
Gap,
Inc.
20,000
8.625%, 
5/15/2025
a
22,395
General
Motors
Financial
Company,
Inc.
40,000
5.700%, 
9/30/2030
b,c
43,200
Hanesbrands,
Inc.
35,000
4.875%, 
5/15/2026
a
37,538
Herc
Holdings,
Inc.
30,000
5.500%, 
7/15/2027
a
31,926
Hilton
Domestic
Operating
Company,
Inc.
20,000
4.875%, 
1/15/2030
21,216
Hilton
Worldwide
Finance,
LLC
50,000
4.875%, 
4/1/2027
52,188
International
Game
Technology
plc
30,000
5.250%, 
1/15/2029
a
31,290
KB
Home
30,000
4.800%, 
11/15/2029
31,425
L
Brands,
Inc.
30,000
6.625%, 
10/1/2030
a
34,254
10,000
6.875%, 
11/1/2035
11,918
Landry's,
Inc.
30,000
6.750%, 
10/15/2024
a
30,335
Levi
Strauss
&
Company
40,000
3.500%, 
3/1/2031
a
38,600
Live
Nation
Entertainment,
Inc.
20,000
3.750%, 
1/15/2028
a
19,725
Mattamy
Group
Corporation
40,000
5.250%, 
12/15/2027
a
41,850
MGM
Resorts
International
55,000
5.500%, 
4/15/2027
59,125
PetSmart,
Inc.
20,000
4.750%, 
2/15/2028
a
20,454
20,000
7.750%, 
2/15/2029
a
21,649
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Consumer
Cyclical
(6.1%)
-
continued
Prime
Security
Services
Borrower,
LLC
$
55,000
5.750%, 
4/15/2026
a
$
59,513
Real
Hero
Merger
Sub
2,
Inc.
20,000
6.250%, 
2/1/2029
a
20,650
Realogy
Group,
LLC
30,000
5.750%, 
1/15/2029
a
29,588
Rite
Aid
Corporation
15,000
7.500%, 
7/1/2025
a
15,581
Royal
Caribbean
Cruises,
Ltd.
30,000
9.125%, 
6/15/2023
a
33,058
10,000
11.500%, 
6/1/2025
a
11,663
15,000
5.500%, 
4/1/2028
a
15,075
Scientific
Games
International,
Inc.
45,000
5.000%, 
10/15/2025
a
46,607
30,000
7.250%, 
11/15/2029
a
32,550
SeaWorld
Parks
and
Entertainment,
Inc.
20,000
9.500%, 
8/1/2025
a
21,737
Six
Flags
Entertainment
Corporation
10,000
5.500%, 
4/15/2027
a,g
10,363
Six
Flags
Theme
Parks,
Inc.
10,000
7.000%, 
7/1/2025
a
10,813
Staples,
Inc.
50,000
7.500%, 
4/15/2026
a
52,738
Tenneco,
Inc.
20,000
5.000%, 
7/15/2026
18,850
Uber
Technologies,
Inc.
20,000
6.250%, 
1/15/2028
a
21,784
Under
Armour
,
Inc.,
Convertible
3,000
1.500%, 
6/1/2024
a
5,878
Vista
Outdoor,
Inc.
30,000
4.500%, 
3/15/2029
a
29,684
Wyndham
Destinations,
Inc.
20,000
6.625%, 
7/31/2026
a
22,707
Wyndham
Hotels
&
Resorts,
Inc.
10,000
4.375%, 
8/15/2028
a
10,115
Yum!
Brands,
Inc.
40,000
4.750%, 
1/15/2030
a
42,292
ZF
North
America
Capital,
Inc.
20,000
4.750%, 
4/29/2025
a
21,471
Total
1,948,000
Consumer
Non-Cyclical
(4.9%)
Albertson's
Companies,
Inc.
60,000
3.500%, 
3/15/2029
a
57,098
Aramark
Services,
Inc.
20,000
6.375%, 
5/1/2025
a
21,200
Bausch
Health
Companies,
Inc.
10,000
5.000%, 
1/30/2028
a
10,125
40,000
5.000%, 
2/15/2029
a
39,725
Callaway
Golf
Company,
Convertible
2,000
2.750%, 
5/1/2026
a
3,422
Centene
Corporation
50,000
5.375%, 
6/1/2026
a
52,285
10,000
4.250%, 
12/15/2027
10,519
15,000
4.625%, 
12/15/2029
16,235
10,000
3.000%, 
10/15/2030
9,983
Central
Garden
&
Pet
Company
20,000
4.125%, 
10/15/2030
20,200
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
296
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Consumer
Non-Cyclical
(4.9%)
-
continued
Community
Health
Systems,
Inc.
$
15,000
5.625%, 
3/15/2027
a
$
15,712
20,000
6.000%, 
1/15/2029
a
21,150
40,000
6.875%, 
4/15/2029
a
41,875
DaVita,
Inc.
40,000
4.625%, 
6/1/2030
a
40,754
Edgewell
Personal
Care
Company
20,000
5.500%, 
6/1/2028
a
21,120
Encompass
Health
Corporation
50,000
4.500%, 
2/1/2028
51,206
Endo
Finance,
LLC
20,000
9.500%, 
7/31/2027
a
21,725
Energizer
Holdings,
Inc.
35,000
4.375%, 
3/31/2029
a
35,123
H.
J.
Heinz
Company
10,000
5.200%, 
7/15/2045
11,566
HCA,
Inc.
110,000
5.375%, 
2/1/2025
122,707
HLF
Financing
SARL,
LLC
20,000
7.250%, 
8/15/2026
a
20,950
Illumina,
Inc.
30,000
9.000%, 
7/1/2028
a
33,759
Illumina,
Inc.,
Convertible
2,000
0.500%, 
6/15/2021
3,008
Ionis
Pharmaceuticals,
Inc.,
Convertible
4,000
0.125%, 
12/15/2024
3,819
JBS
USA,
LLC
65,000
6.500%, 
4/15/2029
a
73,418
Kraft
Foods
Group,
Inc.
40,000
5.000%, 
6/4/2042
45,016
Kraft
Heinz
Foods
Company
40,000
4.625%, 
1/30/2029
44,893
60,000
3.750%, 
4/1/2030
63,681
20,000
4.250%, 
3/1/2031
22,019
Mattel,
Inc.
35,000
3.375%, 
4/1/2026
a
36,135
Molina
Healthcare,
Inc.
30,000
4.375%, 
6/15/2028
a
30,869
MPH
Acquisition
Holdings,
LLC
20,000
5.750%, 
11/1/2028
a,g
19,500
Ortho-Clinical
Diagnostics,
Inc.
20,000
7.250%, 
2/1/2028
a
21,913
Par
Pharmaceutical,
Inc.
40,000
7.500%, 
4/1/2027
a
42,426
Pilgrim's
Pride
Corporation
10,000
5.875%, 
9/30/2027
a
10,717
QBE
Insurance
Group,
Ltd.
40,000
5.875%, 
5/12/2025
a,b,c
43,050
Scotts
Miracle-
Gro
Company
40,000
4.500%, 
10/15/2029
41,238
SEG
Holding,
LLC
30,000
5.625%, 
10/15/2028
a
31,425
Simmons
Foods,
Inc.
20,000
4.625%, 
3/1/2029
a
20,175
Spectrum
Brands,
Inc.
10,000
5.000%, 
10/1/2029
a
10,550
10,000
5.500%, 
7/15/2030
a
10,700
Syneos
Health,
Inc.
20,000
3.625%, 
1/15/2029
a
19,450
Teleflex,
Inc.
40,000
4.250%, 
6/1/2028
a
41,450
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Consumer
Non-Cyclical
(4.9%)
-
continued
Tenet
Healthcare
Corporation
$
25,000
4.625%, 
7/15/2024
$
25,517
50,000
5.125%, 
11/1/2027
a
52,285
15,000
6.125%, 
10/1/2028
a
15,656
Teva
Pharmaceutical
Finance
Netherlands
III
BV
40,000
2.800%, 
7/21/2023
39,822
United
Natural
Foods,
Inc.
30,000
6.750%, 
10/15/2028
a
32,063
VRX
Escrow
Corporation
85,000
6.125%, 
4/15/2025
a
87,142
Winnebago
Industries,
Inc.,
Convertible
16,000
1.500%, 
4/1/2025
22,160
Total
1,588,536
Energy
(5.7%)
Antero
Midstream
Partners,
LP
10,000
5.750%, 
3/1/2027
a
10,002
Antero
Resources
Corporation
25,000
5.000%, 
3/1/2025
25,019
Apache
Corporation
20,000
4.875%, 
11/15/2027
20,500
30,000
4.375%, 
10/15/2028
29,910
Archrock
Partners,
LP
25,000
6.250%, 
4/1/2028
a
25,395
BP
Capital
Markets
plc
40,000
4.875%, 
3/22/2030
b,c
42,850
Buckeye
Partners,
LP
30,000
3.950%, 
12/1/2026
29,654
Centennial
Resource
Production,
LLC
30,000
6.875%, 
4/1/2027
a
26,700
Cheniere
Energy
Partners,
LP
60,000
5.625%, 
10/1/2026
62,742
Cheniere
Energy,
Inc.,
Convertible
3,000
4.250%, 
3/15/2045
2,451
CNX
Resources
Corporation
20,000
6.000%, 
1/15/2029
a
20,784
Comstock
Resources,
Inc.
20,000
9.750%, 
8/15/2026
21,700
Continental
Resources,
Inc.
10,000
4.375%, 
1/15/2028
10,515
20,000
5.750%, 
1/15/2031
a
22,597
Enagas
SA
35,000
5.500%, 
1/15/2028
a
34,183
Enbridge,
Inc.
137,000
6.250%, 
3/1/2078
b
143,426
48,000
5.750%, 
7/15/2080
b
51,360
Encana
Corporation
10,000
6.625%, 
8/15/2037
12,026
Endeavor
Energy
Resources,
LP
20,000
5.750%, 
1/30/2028
a
21,126
Energean
Israel
Finance,
Ltd.
30,000
4.500%, 
3/30/2024
a
30,152
Energy
Transfer
Operating,
LP
25,000
6.625%, 
2/15/2028
b,c
22,125
EnLink
Midstream
Partners,
LP
30,000
4.850%, 
7/15/2026
28,981
20,000
5.600%, 
4/1/2044
16,600
Enterprise
Products
Operating,
LLC
75,000
4.875%, 
8/16/2077
b
70,531
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
297
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Energy
(5.7%)
-
continued
EQM
Midstream
Partners,
LP
$
30,000
6.500%, 
7/1/2027
a
$
32,617
10,000
6.500%, 
7/15/2048
9,975
EQT
Corporation
30,000
3.900%, 
10/1/2027
30,600
EQT
Corporation,
Convertible
7,000
1.750%, 
5/1/2026
a
10,282
Genesis
Energy,
LP
10,000
6.500%, 
10/1/2025
9,802
Harvest
Midstream,
LP
30,000
7.500%, 
9/1/2028
a
32,241
Hess
Midstream
Operations,
LP
20,000
5.625%, 
2/15/2026
a
20,600
Hilcorp
Energy
I,
LP
30,000
5.750%, 
2/1/2029
a
30,262
Murphy
Oil
Corporation
25,000
5.875%, 
12/1/2027
24,500
Nabors
Industries,
Ltd.
20,000
7.250%, 
1/15/2026
a
16,600
Newfield
Exploration
Company
20,000
5.625%, 
7/1/2024
21,987
NGL
Energy
Operating,
LLC
20,000
7.500%, 
2/1/2026
a
20,550
NGL
Energy
Partners,
LP
20,000
7.500%, 
11/1/2023
19,300
NuStar
Logistics,
LP
30,000
5.750%, 
10/1/2025
32,116
Occidental
Petroleum
Corporation
10,000
3.450%, 
7/15/2024
10,000
50,000
2.900%, 
8/15/2024
49,452
20,000
3.400%, 
4/15/2026
19,420
65,000
3.500%, 
8/15/2029
60,989
20,000
6.450%, 
9/15/2036
22,075
40,000
4.400%, 
4/15/2046
34,258
Ovintiv
,
Inc.
10,000
7.375%, 
11/1/2031
12,720
PBF
Holding
Company,
LLC
25,000
9.250%, 
5/15/2025
a
25,524
PDC
Energy,
Inc.,
Convertible
1,000
1.125%, 
9/15/2021
991
Pioneer
Natural
Resources
Company,
Convertible
7,000
0.250%, 
5/15/2025
a
10,962
Plains
All
American
Pipeline,
LP
60,000
6.125%, 
11/15/2022
b,c
48,754
Range
Resources
Corporation
10,000
9.250%, 
2/1/2026
10,865
10,000
8.250%, 
1/15/2029
a
10,700
Southwestern
Energy
Company
30,000
7.500%, 
4/1/2026
31,741
Sunoco,
LP
40,000
6.000%, 
4/15/2027
41,850
Targa
Resources
Partners,
LP
20,000
5.375%, 
2/1/2027
20,741
Teine
Energy,
Ltd.
25,000
6.875%, 
4/15/2029
a,d
25,302
TransCanada
Trust
100,000
5.300%, 
3/15/2077
b
104,444
Transocean
Guardian,
Ltd.
21,750
5.875%, 
1/15/2024
a
19,032
Transocean
Proteus,
Ltd.
12,000
6.250%, 
12/1/2024
a
11,400
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Energy
(5.7%)
-
continued
USA
Compression
Partners,
LP
$
10,000
6.875%, 
4/1/2026
$
10,256
Vine
Energy
Holdings,
LLC
20,000
6.750%, 
4/15/2029
a,d
20,000
W&T
Offshore,
Inc.
25,000
9.750%, 
11/1/2023
a
22,118
Weatherford
International,
Ltd.
30,000
8.750%, 
9/1/2024
a
31,383
20,000
11.000%, 
12/1/2024
a
19,200
Western
Midstream
Operating,
LP
20,000
4.350%, 
2/1/2025
20,700
20,000
3.950%, 
6/1/2025
20,540
10,000
5.500%, 
8/15/2048
9,841
Total
1,818,019
Financials
(16.1%)
Air
Lease
Corporation
64,000
4.650%, 
6/15/2026
b,c
63,200
Ally
Financial,
Inc.
45,000
5.750%, 
11/20/2025
51,123
Ares
Capital
Corporation,
Convertible
9,000
4.625%, 
3/1/2024
9,782
BAC
Capital
Trust
XIV
34,000
4.000%, 
(LIBOR
3M
+
0.400%),
4/19/2021
b,c
33,405
Bank
of
America
Corporation
42,000
6.100%, 
9/5/2024
b,c
46,620
284,000
6.250%, 
3/5/2025
b,c
314,331
84,000
5.875%, 
3/15/2028
b,c
91,616
Bank
of
New
York
Mellon
Corporation
20,000
4.700%, 
9/20/2025
b,c
21,669
Bank
of
Nova
Scotia
60,000
4.900%, 
6/4/2025
b,c
63,788
Barclays
plc
100,000
8.000%, 
6/15/2024
b,c
111,000
Burford
Capital
Global
Finance,
LLC
15,000
6.250%, 
4/15/2028
a,d
15,375
CANPACK
SA
30,000
3.125%, 
11/1/2025
a
30,450
Cascades
USA,
Inc.
20,000
5.125%, 
1/15/2026
a
21,225
Charles
Schwab
Corporation
176,000
5.375%, 
6/1/2025
b,c
194,422
128,000
4.000%, 
6/1/2026
b,c
129,894
Chobani
,
LLC
30,000
4.625%, 
11/15/2028
a
30,600
Citigroup,
Inc.
86,000
4.672%, 
(LIBOR
3M
+
4.478%),
5/15/2021
b,c
86,328
82,000
5.950%, 
1/30/2023
b,c
86,029
68,000
5.000%, 
9/12/2024
b,c
70,060
34,000
5.950%, 
5/15/2025
b,c
36,635
45,000
4.000%, 
12/10/2025
b,c
45,439
120,000
3.875%, 
2/18/2026
b,c
119,440
Comerica,
Inc.
20,000
5.625%, 
7/1/2025
b,c
22,025
Credit
Acceptance
Corporation
25,000
5.125%, 
12/31/2024
a
25,500
Credit
Agricole
SA
40,000
8.125%, 
12/23/2025
a,b,c
48,200
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
298
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Financials
(16.1%)
-
continued
Credit
Suisse
Group
AG
$
51,000
7.500%, 
12/11/2023
a,b,c
$
55,199
Dai-ichi
Life
Insurance
Company,
Ltd.
120,000
5.100%, 
10/28/2024
a,b,c,g
132,750
Drawbridge
Special
Opportunities
Fund,
LP
40,000
3.875%, 
2/15/2026
a
41,030
ESH
Hospitality,
Inc.
30,000
5.250%, 
5/1/2025
a
30,600
10,000
4.625%, 
10/1/2027
a
10,576
Euronet
Worldwide,
Inc.,
Convertible
8,000
0.750%, 
3/15/2049
9,115
Fifth
Third
Bancorp
46,000
4.500%, 
9/30/2025
b,c
48,852
Fortress
Transportation
20,000
6.500%, 
10/1/2025
a
20,900
FTI
Consulting,
Inc.,
Convertible
16,000
2.000%, 
8/15/2023
23,328
Global
Net
Lease,
Inc.
25,000
3.750%, 
12/15/2027
a
24,368
Goldman
Sachs
Group,
Inc.
125,000
5.500%, 
8/10/2024
b,c
135,000
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Convertible
11,000
4.125%, 
9/1/2022
22,674
Hartford
Financial
Services
Group,
Inc.
100,000
2.319%, 
(LIBOR
3M
+
2.125%),
2/12/2047
a,b
95,998
HSBC
Holdings
plc
55,000
6.375%, 
3/30/2025
b,c
60,610
36,000
6.500%, 
3/23/2028
b,c
40,365
70,000
4.600%, 
12/17/2030
b,c
69,212
Huntington
Bancshares,
Inc.
64,000
4.450%, 
10/15/2027
b,c
66,637
Icahn
Enterprises,
LP
70,000
6.375%, 
12/15/2025
72,275
Iron
Mountain,
Inc.
65,000
4.875%, 
9/15/2027
a
66,503
iStar
,
Inc.
30,000
4.250%, 
8/1/2025
30,207
iStar
,
Inc.,
Convertible
8,000
3.125%, 
9/15/2022
10,540
J.P.
Morgan
Chase
&
Company
140,000
3.558%, 
(LIBOR
3M
+
3.320%),
7/1/2021
b,c
139,370
105,000
5.150%, 
5/1/2023
b,c
108,612
40,000
6.000%, 
8/1/2023
b,c
41,929
40,000
6.750%, 
2/1/2024
b,c
43,800
168,000
5.000%, 
8/1/2024
b,c
173,670
J.P.
Morgan
Chase
Capital
XXIII
100,000
1.194%, 
(LIBOR
3M
+
1.000%),
5/15/2047
b
85,500
Lincoln
National
Corporation
100,000
2.549%, 
(LIBOR
3M
+
2.358%),
5/17/2066
b
85,738
Lloyds
Banking
Group
plc
40,000
7.500%, 
6/27/2024
b,c
44,600
100,000
6.657%, 
5/21/2037
a,b,c
129,000
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Financials
(16.1%)
-
continued
LPL
Holdings,
Inc.
$
20,000
4.000%, 
3/15/2029
a
$
20,150
MetLife,
Inc.
40,000
3.850%, 
9/15/2025
b,c
41,300
92,000
5.875%, 
3/15/2028
b,c
101,890
MGIC
Investment
Corporation,
Convertible
21,000
9.000%, 
4/1/2063
a
28,192
MGM
Growth
Properties
Operating
Partnership,
LP
35,000
4.500%, 
9/1/2026
36,631
MPT
Operating
Partnership,
LP
30,000
4.625%, 
8/1/2029
31,561
NFP
Corporation
10,000
6.875%, 
8/15/2028
a
10,375
Nippon
Life
Insurance
Company
97,000
5.100%, 
10/16/2044
a,b
107,185
72,000
3.400%, 
1/23/2050
a,b
73,260
Pebblebrook
Hotel
Trust,
Convertible
19,000
1.750%, 
12/15/2026
22,230
PennyMac
Financial
Services,
Inc.
20,000
4.250%, 
2/15/2029
a
19,125
Playtika
Holding
Corporation
10,000
4.250%, 
3/15/2029
a
9,852
Provident
Financing
Trust
I
25,000
7.405%, 
3/15/2038
28,808
Prudential
Financial,
Inc.
138,000
5.625%, 
6/15/2043
b
147,887
86,000
5.200%, 
3/15/2044
b
91,576
20,000
3.700%, 
10/1/2050
b
20,224
Quicken
Loans,
LLC
20,000
3.625%, 
3/1/2029
a
19,250
Regions
Financial
Corporation
40,000
5.750%, 
6/15/2025
b,c
44,050
Royal
Bank
of
Scotland
Group
plc
40,000
8.625%, 
8/15/2021
b,c
40,950
Service
Properties
Trust
30,000
4.750%, 
10/1/2026
29,250
20,000
5.500%, 
12/15/2027
21,155
Societe
Generale
SA
40,000
8.000%, 
9/29/2025
a,b,c
46,912
Springleaf
Finance
Corporation
20,000
6.875%, 
3/15/2025
22,749
35,000
7.125%, 
3/15/2026
40,367
10,000
6.625%, 
1/15/2028
11,333
Standard
Chartered
plc
100,000
7.500%, 
4/2/2022
a,b,c
104,500
Starwood
Property
Trust,
Inc.,
Convertible
7,000
4.375%, 
4/1/2023
7,293
Summit
Hotel
Properties,
Inc.,
Convertible
8,000
1.500%, 
2/15/2026
8,815
Truist
Financial
Corporation
110,000
4.950%, 
9/1/2025
b,c
119,213
USB
Realty
Corporation
68,000
1.388%, 
(LIBOR
3M
+
1.147%),
1/15/2022
a,b,c
52,700
VICI
Properties,
LP
10,000
4.250%, 
12/1/2026
a
10,231
10,000
3.750%, 
2/15/2027
a
10,000
20,000
4.625%, 
12/1/2029
a
20,747
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
299
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Financials
(16.1%)
-
continued
Wachovia
Capital
Trust
II
$
30,000
0.741%, 
(LIBOR
3M
+
0.500%),
1/15/2027
b
$
28,755
Wells
Fargo
&
Company
62,000
3.900%, 
3/15/2026
b,c
62,614
Total
5,178,244
Technology
(2.1%)
Akamai
Technologies,
Inc.,
Convertible
10,000
0.125%, 
5/1/2025
12,094
19,000
0.375%, 
9/1/2027
20,603
Banff
Merger
Sub,
Inc.
15,000
9.750%, 
9/1/2026
a
15,975
CommScope
Technologies
Finance,
LLC
30,000
6.000%, 
6/15/2025
a
30,601
CommScope
,
Inc.
20,000
7.125%, 
7/1/2028
a
21,242
Diamond
Sports
Group,
LLC
45,000
6.625%, 
8/15/2027
a
23,400
Gartner,
Inc.
10,000
4.500%, 
7/1/2028
a
10,312
30,000
3.750%, 
10/1/2030
a
29,752
J2
Global,
Inc.,
Convertible
23,000
1.750%, 
11/1/2026
a
26,953
10,000
3.250%, 
6/15/2029
17,681
Lumentum
Holdings,
Inc.,
Convertible
11,000
0.250%, 
3/15/2024
17,621
Microchip
Technology,
Inc.,
Convertible
13,000
1.625%, 
2/15/2027
29,575
NCR
Corporation
50,000
6.125%, 
9/1/2029
a
52,937
NortonLifeLock
,
Inc.,
Convertible
3,000
2.000%, 
8/15/2022
a
3,493
Nuance
Communications,
Inc.,
Convertible
27,000
1.250%, 
4/1/2025
61,341
ON
Semiconductor
Corporation,
Convertible
29,000
1.625%, 
10/15/2023
60,121
Open
Text
Corporation
15,000
4.125%, 
2/15/2030
a
15,205
PTC,
Inc.
10,000
3.625%, 
2/15/2025
a
10,262
Qorvo
,
Inc.
20,000
3.375%, 
4/1/2031
a
19,598
Rackspace
Technology
Global,
Inc.
20,000
5.375%, 
12/1/2028
a,g
20,337
Seagate
HDD
Cayman
30,000
3.375%, 
7/15/2031
a
28,844
Sensata
Technologies,
Inc.
40,000
3.750%, 
2/15/2031
a
39,438
Shift4
Payments,
LLC
10,000
4.625%, 
11/1/2026
a
10,375
SS&C
Technologies,
Inc.
30,000
5.500%, 
9/30/2027
a
31,952
Switch,
Ltd.
30,000
3.750%, 
9/15/2028
a
29,542
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Technology
(2.1%)
-
continued
Teradyne,
Inc.,
Convertible
$
7,000
1.250%, 
12/15/2023
$
26,924
Verint
Systems,
Inc.,
Convertible
11,000
1.500%, 
6/1/2021
12,389
Vishay
Intertechnology
,
Inc.,
Convertible
11,000
2.250%, 
6/15/2025
11,963
Total
690,530
Transportation
(1.0%)
Air
Transport
Services
Group,
Inc.,
Convertible
8,000
1.125%, 
10/15/2024
8,940
American
Airlines,
Inc.
30,000
11.750%, 
7/15/2025
a
37,110
40,000
5.500%, 
4/20/2026
a
41,628
5,000
5.750%, 
4/20/2029
a
5,318
Avis
Budget
Car
Rental,
LLC
20,000
5.375%, 
3/1/2029
a
20,688
Delta
Air
Lines,
Inc.
30,000
7.000%, 
5/1/2025
a
34,559
Hawaiian
Brand
Intellectual
Property,
Ltd.
30,000
5.750%, 
1/20/2026
a
31,878
Meritor,
Inc.,
Convertible
26,000
3.250%, 
10/15/2037
30,469
Mileage
Plus
Holdings,
LLC
30,000
6.500%, 
6/20/2027
a
32,887
Southwest
Airlines
Company,
Convertible
18,000
1.250%, 
5/1/2025
30,904
XPO
Logistics,
Inc.
50,000
6.750%, 
8/15/2024
a
52,437
Total
326,818
U.S.
Government
&
Agencies
(5.2%)
U.S.
Treasury
Bonds
406,000
1.125%, 
2/15/2031
383,606
U.S.
Treasury
Notes
1,305,000
0.375%, 
1/31/2026
1,272,681
Total
1,656,287
Utilities
(1.7%)
Calpine
Corporation
50,000
4.500%, 
2/15/2028
a
50,420
Dominion
Energy,
Inc.
56,000
4.650%, 
12/15/2024
b,c
58,957
Duke
Energy
Corporation
51,000
4.875%, 
9/16/2024
b,c
53,881
NextEra
Energy
Operating
Partners,
LP
35,000
3.875%, 
10/15/2026
a
36,706
NextEra
Energy
Partners,
LP,
Convertible
14,000
Zero
Coupon, 
11/15/2025
a
15,006
NiSource,
Inc.
77,000
5.650%, 
6/15/2023
b,c
79,502
NRG
Energy,
Inc.
35,000
3.375%, 
2/15/2029
a
34,169
PG&E
Corporation
30,000
5.250%, 
7/1/2030
31,800
Sempra
Energy
40,000
4.875%, 
10/15/2025
b,c
42,800
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
300
Principal
Amount
Long-Term
Fixed
Income
(52.9%)
Value
Utilities
(1.7%)
-
continued
Southern
Company
$
40,000
4.000%, 
1/15/2051
b
$
42,210
Talen
Energy
Supply,
LLC
20,000
7.625%, 
6/1/2028
a
20,250
TerraForm
Power
Operating,
LLC
35,000
5.000%, 
1/31/2028
a
37,767
Vistra
Operations
Company,
LLC
30,000
5.000%, 
7/31/2027
a
30,901
Total
534,369
Total
Long-Term
Fixed
Income
(cost
$16,420,168)
16,964,571
Shares
Registered
Investment
Companies
(
32.1%
)
Value
Unaffiliated  (22.3%)
15,000
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
61,350
8,356
AllianceBernstein
Global
High
Income
Fund,
Inc.
99,019
9,648
Barings
Global
Short
Duration
High
Yield
Fund
155,140
14,801
BlackRock
Core
Bond
Trust
232,376
6,859
BlackRock
Corporate
High
Yield
Fund,
Inc.
80,525
15,183
BlackRock
Credit
Allocation
Income
Trust
222,886
12,083
BlackRock
Enhanced
Equity
Dividend
Trust
114,305
13,425
BlackRock
Enhanced
Global
Dividend
Trust
154,253
8,095
BlackRock
Multi-Sector
Income
Trust
145,872
3,629
Blackstone
Senior
Floating
Rate
Term
Fund
56,467
36,600
BNY
Mellon
High
Yield
Strategies
Fund
113,094
4,218
Brookfield
Real
Assets
Income
Fund,
Inc.
87,313
6,040
Clough
Global
Opportunities
Fund
73,990
4,374
Cohen
&
Steers
Quality
Income
Realty
Fund,
Inc.
60,886
8,610
Eaton
Vance
Limited
Duration
Income
Fund
108,744
180
Eaton
Vance
Senior
Floating-Rate
Trust
2,482
6,772
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
62,980
6,736
First
Trust
High
Income
Long/Short
Fund
101,848
4,971
First
Trust
Senior
Floating
Rate
Income
Fund
II
60,945
10,620
Invesco
Dynamic
Credit
Opportunities
Fund
120,749
3,500
Invesco
Variable
Rate
Preferred
ETF
g
90,475
100
iShares
International
Select
3,148
150
iShares
Mortgage
Real
Estate
Capped
ETF
5,289
40
iShares
Residential
Real
Estate
ETF
2,960
26,700
iShares
S&P
U.S.
Preferred
Stock
Index
Fund
g
1,025,280
Shares
Registered
Investment
Companies
(32.1%)
Value
Unaffiliated  (22.3%)-
continued
13,803
Ivy
High
Income
Opportunities
Fund
$
188,273
12,310
Liberty
All-Star
Equity
Fund
93,925
11,597
Madison
Covered
Call
&
Equity
Strategy
Fund
87,673
10,239
New
America
High
Income
Fund,
Inc.
92,765
17,162
Nuveen
Credit
Strategies
Income
Fund
111,553
200
Nuveen
Floating
Rate
Income
Fund
1,932
7,743
Nuveen
Global
High
Income
Fund
119,784
10,608
Nuveen
Senior
Income
Fund
59,511
4,113
Nuveen
Short
Duration
Credit
Opportunities
Fund
58,076
14,008
PGIM
Global
High
Yield
Fund,
Inc.
208,999
10,729
PGIM
High
Yield
Bond
Fund,
Inc.
168,016
5,490
Pimco
Dynamic
Credit
And
Mortgage
Income
Fund
122,262
6,826
Pioneer
High
Income
Trust
63,960
6,233
Royce
Micro-Cap
Trust,
Inc.
70,433
5,220
Royce
Value
Trust,
Inc.
94,534
11,459
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
g
1,246,739
9,545
SPDR
Bloomberg
Barclays
Short
Term
High
Yield
Bond
ETF
260,865
10,974
Templeton
Emerging
Markets
Income
Fund
80,878
3,876
Tri-Continental
Corporation
125,699
9,808
Virtus
Dividend,
Interst
&
Premium
Strategy
Fund
135,154
5,125
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund
47,663
16,022
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
91,325
6,276
Voya
Infrastructure
Industrials
and
Materials
Fund
77,697
26,614
Wells
Fargo
Global
Dividend
Opportunity
Fund
139,990
14,463
Wells
Fargo
Income
Opportunities
Fund
122,068
7,352
Western
Asset
High
Income
Opportunity
Fund,
Inc.
37,348
Total
7,149,498
Affiliated  (9.8%)
324,614
Thrivent
Core
Emerging
Markets
Debt
Fund
3,139,016
Total
3,139,016
Total
Registered
Investment
Companies
(cost
$9,995,141)
10,288,514
Shares
Collateral
Held
for
Securities
Loaned
(
7.7%
)
Value
2,462,933
Thrivent
Cash
Management
Trust
2,462,933
Total
Collateral
Held
for
Securities
Loaned
(cost
$2,462,933)
2,462,933
Shares
Common
Stock
(
5.7%
)
Value
Communications
Services
(0.2%)
68
Charter
Communications,
Inc.
h
41,957
472
Twitter,
Inc.
h
30,033
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
301
Shares
Common
Stock
(5.7%)
Value
Communications
Services
(0.2%)
-
continued
31
Windstream
Services,
LLC,
Warrants
(Expires
12/31/2049)
h
$
398
Total
72,388
Consumer
Discretionary
(0.4%)
529
Bloomin
'
Brands,
Inc.
h
14,310
11
Booking
Holdings,
Inc.
h
25,628
38
Burlington
Stores,
Inc.
h
11,354
497
Callaway
Golf
Company
13,295
113
Dick's
Sporting
Goods,
Inc.
8,605
2,440
Under
Armour
,
Inc.,
Class
C
h
45,042
Total
118,234
Consumer
Staples
(0.1%)
325
Bunge,
Ltd.
25,763
Total
25,763
Energy
(0.9%)
87
Cheniere
Energy,
Inc.
h
6,265
1,420
Enbridge,
Inc.
51,688
1,500
Enterprise
Products
Partners,
LP
33,030
582
EQT
Corporation
h
10,814
1,700
Kinder
Morgan,
Inc.
28,305
1,800
MPLX,
LP
46,134
197
PDC
Energy,
Inc.
h
6,777
109
Pioneer
Natural
Resources
Company
17,311
230
SM
Energy
Company
3,765
1,100
TC
Energy
Corporation
50,325
1,900
Williams
Companies,
Inc.
45,011
Total
299,425
Financials
(2.1%)
5,636
AG
Mortgage
Investment
Trust,
Inc.
22,713
11,258
Annaly
Capital
Management,
Inc.
96,819
2,500
Apollo
Commercial
Real
Estate
Finance,
Inc.
34,925
136
Ares
Capital
Corporation
2,545
368
Bank
of
America
Corporation
14,238
4,300
BlackRock
TCP
Capital
Corporation
59,469
266
Blackstone
Mortgage
Trust,
Inc.
8,246
2,900
Chimera
Investment
Corporation
36,830
2,500
FS
KKR
Capital
Corporation
49,575
3,100
FS
KKR
Capital
Corporation
II
60,543
4,375
Golub
Capital
BDC,
Inc.
63,962
5,511
Granite
Point
Mortgage
Trust,
Inc.
65,967
471
KKR
&
Company,
Inc.
23,008
2,645
Sixth
Street
Specialty
Lending,
Inc.
55,624
234
Starwood
Property
Trust,
Inc.
5,789
7,047
Two
Harbors
Investment
Corporation
51,655
282
Wells
Fargo
&
Company
11,018
Total
662,926
Health
Care
(0.3%)
70
Anthem,
Inc.
25,126
207
Danaher
Corporation
46,592
29
Illumina,
Inc.
h
11,138
Total
82,856
Industrials
(0.4%)
211
Chart
Industries,
Inc.
h
30,036
Shares
Common
Stock
(5.7%)
Value
Industrials
(0.4%)
-
continued
177
Fortive
Corporation
$
12,503
364
Greenbrier
Companies,
Inc.
17,188
300
Meritor,
Inc.
h
8,826
379
Patrick
Industries,
Inc.
32,215
144
Southwest
Airlines
Company
h
8,793
73
Stanley
Black
&
Decker,
Inc.
14,576
60
Tutor
Perini
Corporation
h
1,137
Total
125,274
Information
Technology
(0.8%)
130
Broadcom,
Ltd.
60,276
307
II-VI,
Inc.
h
20,990
138
Lumentum
Holdings,
Inc.
h
12,606
210
Microchip
Technology,
Inc.
32,596
582
Micron
Technology,
Inc.
h
51,338
143
Motorola
Solutions,
Inc.
26,891
289
ON
Semiconductor
Corporation
h
12,025
1,840
Sabre
Corporation
h
27,250
10
ServiceNow
,
Inc.
h
5,001
51
Teradyne,
Inc.
6,206
90
Western
Digital
Corporation
6,008
Total
261,187
Materials
(<0.1%)
32
International
Flavors
&
Fragrances,
Inc.
4,467
Total
4,467
Real
Estate
(0.5%)
5,144
AGNC
Investment
Corporation
86,213
135
iSTAR
Financial,
Inc.
2,400
6,794
New
Residential
Investment
Corporation
76,433
192
Pebblebrook
Hotel
Trust
4,664
Total
169,710
Utilities
(<0.1%)
51
NextEra
Energy
Partners,
LP
3,717
99
NextEra
Energy,
Inc.
7,485
Total
11,202
Total
Common
Stock
(cost
$1,731,349)
1,833,432
Shares
Preferred
Stock
(
5.5%
)
Value
Communications
Services
(0.5%)
5,050
AT&T,
Inc.,
4.750%
c
127,614
1,450
AT&T,
Inc.,
5.000%
c,g
38,236
Total
165,850
Consumer
Discretionary
(<0.1%)
142
International
Flavors
&
Fragrances,
Inc.,
Convertible,
6.000%
6,964
Total
6,964
Consumer
Staples
(0.2%)
2,000
CHS,
Inc.,
6.750%
b,c
55,240
Total
55,240
Energy
(0.4%)
10,535
Crestwood
Equity
Partners,
LP,
9.250%
c
91,022
525
Energy
Transfer
Operating,
LP,
7.600%
b,c
12,553
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
302
Shares
Preferred
Stock
(5.5%)
Value
Energy
(0.4%)
-
continued
1,415
Nustar
Logistics,
LP,
6.975%
b
$
34,880
Total
138,455
Financials
(3.5%)
1,050
Aegon
Funding
Corporation
II,
5.100%
27,247
3,500
Allstate
Corporation,
5.100%
c
94,535
1,000
Bank
of
America
Corporation,
5.000%
c
26,470
1,089
Bank
of
America
Corporation,
5.375%
c
29,490
11
Bank
of
America
Corporation,
Convertible,
7.250%
c
15,378
2,050
Capital
One
Financial
Corporation,
5.000%
c
52,788
2,000
Citigroup
Capital
XIII,
6.582%
b
53,800
2,400
Equitable
Holdings,
Inc.,
5.250%
c
63,072
65
First
Horizon
Bank,
3.750%
a,b,c
53,950
4,300
GMAC
Capital
Trust
I,
5.983%
b
109,564
1,450
J.P.
Morgan
Chase
&
Company,
4.750%
c
38,309
1,700
J.P.
Morgan
Chase
&
Company,
5.750%
c
46,087
1,700
Legg
Mason,
Inc.,
5.450%
43,350
4,800
Morgan
Stanley,
5.850%
b,c
136,704
1,700
Morgan
Stanley,
7.125%
b,c,g
49,062
250
Synovus
Financial
Corporation,
5.875%
b,c
6,720
2,500
Truist
Financial
Corporation,
4.750%
c
64,375
146
Wells
Fargo
&
Company,
Convertible,
7.500%
c
206,942
Total
1,117,843
Health
Care
(<0.1%)
5
Danaher
Corporation,
Convertible,
5.000%
6,476
Total
6,476
Industrials
(0.1%)
11
Fortive
Corporation,
Convertible,
5.000%
10,951
230
Stanley
Black
&
Decker,
Inc.,
Convertible,
5.250%
27,135
Total
38,086
Real
Estate
(0.4%)
3,775
Public
Storage,
4.125%
c
97,433
800
Public
Storage,
4.625%
c
21,488
200
Public
Storage,
4.700%
c
5,362
325
Public
Storage,
4.875%
c
8,703
Total
132,986
Utilities
(0.4%)
77
American
Electric
Power
Company,
Inc.,
Convertible,
6.125%
3,716
266
NextEra
Energy,
Inc.,
Convertible,
4.872%
15,271
3,200
Southern
Company,
4.950%
84,224
Shares
Preferred
Stock
(5.5%)
Value
Utilities
(0.4%)
-
continued
262
Southern
Company,
Convertible,
6.750%
$
13,344
Total
116,555
Total
Preferred
Stock
(cost
$1,754,972)
1,778,455
Shares
Short-Term
Investments
(
3.8%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
123,436
0.180%
1,234,355
Total
Short-Term
Investments
(cost
$1,234,296)
1,234,355
Total
Investments
(cost
$33,598,859)
107.7%
$34,562,260
Other
Assets
and
Liabilities,
Net
(7.7%)
(2,472,432)
Total
Net
Assets
100.0%
$32,089,828
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
March
31,
2021,
the
value
of
these
investments
was
$7,322,574
or
22.8%
of
total
net
assets.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
March
31,
2021.
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
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
f
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
March
31,
2021.
g
All
or
a
portion
of
the
security
is
on
loan.
h
Non-income
producing
security.
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
303
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
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
187,958
Common
Stock
2,229,893
Total
lending
$2,417,851
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$2,462,933
Net
amounts
due
to
counterparty
$45,082
Definitions:
ETF
-
Exchange
Traded
Fund
PIK
-
Payment-In-Kind
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
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
304
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
627,141
627,141
Capital
Goods
1,030,467
1,030,467
Collateralized
Mortgage
Obligations
87,233
87,233
Communications
Services
1,478,927
1,464,872
14,055
Consumer
Cyclical
1,948,000
1,948,000
Consumer
Non-Cyclical
1,588,536
1,588,536
Energy
1,818,019
1,818,019
Financials
5,178,244
5,178,244
Technology
690,530
690,530
Transportation
326,818
326,818
U.S.
Government
&
Agencies
1,656,287
1,656,287
Utilities
534,369
534,369
Registered
Investment
Companies
Unaffiliated
7,149,498
7,149,498
Common
Stock
Communications
Services
72,388
71,990
398
Consumer
Discretionary
118,234
118,234
Consumer
Staples
25,763
25,763
Energy
299,425
299,425
Financials
662,926
662,926
Health
Care
82,856
82,856
Industrials
125,274
125,274
Information
Technology
261,187
261,187
Materials
4,467
4,467
Real
Estate
169,710
169,710
Utilities
11,202
11,202
Preferred
Stock
Communications
Services
165,850
165,850
Consumer
Discretionary
6,964
6,964
Consumer
Staples
55,240
55,240
Energy
138,455
138,455
Financials
1,117,843
1,063,893
53,950
Health
Care
6,476
6,476
Industrials
38,086
38,086
Real
Estate
132,986
132,986
Utilities
116,555
116,555
Subtotal
Investments
in
Securities
$27,725,956
$10,707,037
$17,004,864
$14,055
Other
Investments  *
Total
Affiliated
Registered
Investment
Companies
3,139,016
Affiliated
Short-Term
Investments
1,234,355
Collateral
Held
for
Securities
Loaned
2,462,933
Subtotal
Other
Investments
$6,836,304
Total
Investments
at
Value
$34,562,260
*
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.  
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
305
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$2,796
$547
$–
$3,139
325
9.8%
Total
Affiliated
Registered
Investment
Companies
2,796
3,139
9.8
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
678
7,173
6,617
1,234
123
3.8
Total
Affiliated
Short-Term
Investments
678
1,234
3.8
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
173
8,585
6,295
2,463
2,463
7.7
Total
Collateral
Held
for
Securities
Loaned
173
2,463
7.7
Total
Value
$3,647
$6,836
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$(204)
$32
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
0
0
0
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$32
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
3
Total
Affiliated
Income
from
Securities
Loaned,
Net
$3
Total
Value
$0
$(204)
$–
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
306
Principal
Amount
Bank
Loans
(
21.5%
)
a
Value
Basic
Materials
(1.6%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
82,662
4.690%, 
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
82,132
Chemours
Company,
Term
Loan
364,581
1.860%, 
(LIBOR
1M
+
1.750%),
4/3/2025
b
353,341
Hexion,
Inc.,
Term
Loan
306,877
3.740%, 
(LIBOR
3M
+
3.500%),
7/1/2026
b
306,686
INEOS
US
Petrochem,
LLC,
Term
Loan
515,000
3.250%, 
(LIBOR
3M
+
2.750%),
1/29/2026
b
513,069
Innophos
Holdings,
Inc.,
Term
Loan
306,900
3.609%, 
(LIBOR
1M
+
3.500%),
2/7/2027
b
305,749
Momentive
Performance
Materials
USA,
LLC,
Term
Loan
287,873
3.360%, 
(LIBOR
1M
+
3.250%),
5/15/2024
b
282,835
Nouryon
USA,
LLC,
Term
Loan
791,536
2.860%, 
(LIBOR
1M
+
2.750%),
10/1/2025
b
778,840
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
536,223
7.500%, 
(LIBOR
1M
+
6.500%),
10/31/2024
b
535,665
PQ
Corporation,
Term
Loan
258,866
4.000%, 
(LIBOR
3M
+
3.000%),
2/7/2027
b
258,758
Venator
Finance
SARL,
Term
Loan
384,005
3.109%, 
(LIBOR
1M
+
3.000%),
8/8/2024
b
378,406
Total
3,795,481
Capital
Goods
(2.4%)
Flex
Acquisition
Company,
Inc.,
Term
Loan
606,586
3.238%, 
(LIBOR
3M
+
3.250%),
6/29/2025
b
595,970
40,000
4.000%, 
(LIBOR
3M
+
3.500%),
3/2/2028
b
39,456
Gemini
HDPE,
LLC,
Term
Loan
480,000
3.500%, 
(LIBOR
3M
+
3.000%),
12/31/2027
b
477,302
GFL
Environmental,
Inc.,
Term
Loan
523,688
3.500%, 
(LIBOR
1M
+
3.000%),
5/31/2025
b
523,688
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
432,306
3.443%, 
(LIBOR
3M
+
3.250%),
4/3/2024
b
422,579
MI
Windows
and
Doors,
Inc.,
Term
Loan
294,263
4.500%, 
(LIBOR
1M
+
3.750%),
12/18/2027
b
295,184
Natgasoline,
LLC,
Term
Loan
366,562
3.625%, 
(LIBOR
1M
+
3.500%),
11/14/2025
b,c
362,897
Principal
Amount
Bank
Loans
(21.5%)
a
Value
Capital
Goods
(2.4%)
-
continued
Navistar,
Inc.,
Term
Loan
$
620,800
3.620%, 
(LIBOR
1M
+
3.500%),
11/6/2024
b
$
620,645
Pactiv
Evergreen
Group
Holdings,
Inc.,
Term
Loan
430,163
2.859%, 
(LIBOR
1M
+
2.750%),
2/5/2023
b
428,082
209,475
3.359%, 
(LIBOR
1M
+
3.250%),
2/5/2026
b
206,961
TransDigm,
Inc.,
Term
Loan
1,086,250
2.359%, 
(LIBOR
1M
+
2.250%),
12/9/2025
b
1,062,711
TricorBraun
Holdings,
Inc.,
Delayed
Draw
110,176
0.000%, 
(LIBOR
1M
+
3.250%),
3/3/2028
b,d,e
109,028
TricorBraun
Holdings,
Inc.,
Term
Loan
489,824
0.000%, 
(LIBOR
3M
+
3.250%),
3/3/2028
b,d,e
484,720
Total
5,629,223
Communications
Services
(4.9%)
Altice
France
SA,
Term
Loan
255,062
2.859%, 
(LIBOR
1M
+
2.750%),
7/31/2025
b
249,824
Cablevision
Lightpath,
LLC,
Term
Loan
478,800
3.750%, 
(LIBOR
1M
+
3.250%),
12/1/2027
b
477,603
CCI
Buyer,
Inc.,
Term
Loan
125,000
4.750%, 
(LIBOR
3M
+
4.000%),
12/17/2027
b
125,117
CommScope,
Inc.,
Term
Loan
778,150
3.359%, 
(LIBOR
1M
+
3.250%),
4/4/2026
b
772,353
CSC
Holdings,
LLC,
Term
Loan
276,812
2.356%, 
(LIBOR
1M
+
2.250%),
7/17/2025
b,d,e
272,718
Diamond
Sports
Group,
LLC,
Term
Loan
458,979
3.360%, 
(LIBOR
1M
+
3.250%),
8/24/2026
b
313,253
E.W.
Scripps
Company,
Term
Loan
239,400
3.750%, 
(LIBOR
1M
+
3.000%),
1/7/2028
b
238,315
Eagle
Broadband
Investments,
LLC,
Term
Loan
793,013
3.750%, 
(LIBOR
3M
+
3.000%),
11/12/2027
b
790,372
Entercom
Media
Corporation,
Term
Loan
413,286
2.609%, 
(LIBOR
1M
+
2.500%),
11/17/2024
b
403,677
GCI,
LLC,
Term
Loan
596,601
3.500%, 
(LIBOR
1M
+
2.750%),
10/15/2025
b,d,e
593,123
HCP
Acquisition,
LLC,
Term
Loan
631,323
3.750%, 
(LIBOR
1M
+
2.750%),
5/16/2024
b
629,934
iHeartCommunications,
Inc.,
Term
Loan
356,391
3.109%, 
(LIBOR
1M
+
3.000%),
5/1/2026
b
351,769
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
307
Principal
Amount
Bank
Loans
(21.5%)
a
Value
Communications
Services
(4.9%)
-
continued
Intermediate
Dutch
Holdings,
Term
Loan
$
300,000
0.000%, 
(LIBOR
1M
+
4.000%),
3/5/2028
b,d,e
$
298,650
Lumen
Technologies,
Inc.,
Term
Loan
440,390
2.359%, 
(LIBOR
1M
+
2.250%),
3/15/2027
b,d,e
435,242
Meredith
Corporation,
Term
Loan
412,920
5.250%, 
(LIBOR
3M
+
4.250%),
1/31/2025
b
418,684
NEP
Group,
Inc.,
Term
Loan
610,999
3.359%, 
(LIBOR
1M
+
3.250%),
10/20/2025
b
591,563
Nexstar
Broadcasting,
Inc.,
Term
Loan
691,544
2.615%, 
(LIBOR
1M
+
2.500%),
9/19/2026
b
685,756
Nielsen
Finance,
LLC,
Term
Loan
195,634
4.750%, 
(LIBOR
1M
+
3.750%),
6/4/2025
b
195,971
Radiate
Holdco,
LLC,
Term
Loan
1,137,150
4.250%, 
(LIBOR
1M
+
3.500%),
9/25/2026
b
1,135,990
Terrier
Media
Buyer,
Inc.,
Term
Loan
633,413
3.609%, 
(LIBOR
1M
+
3.500%),
12/17/2026
b
627,167
TNS,
Inc.,
Term
Loan
450,535
4.110%, 
(LIBOR
1M
+
4.000%),
8/14/2022
b
448,093
WideOpenWest
Finance,
LLC,
Term
Loan
587,083
4.250%, 
(LIBOR
1M
+
3.250%),
8/19/2023
b
584,993
Xplornet
Communications,
Inc.,
Term
Loan
491,536
4.859%, 
(LIBOR
1M
+
4.750%),
6/10/2027
b
491,153
Ziggo
Financing
Partnership,
Term
Loan
290,000
2.606%, 
(LIBOR
1M
+
2.500%),
4/30/2028
b,d,e
286,836
Total
11,418,156
Consumer
Cyclical
(3.7%)
1011778
B.C.,
LLC,
Term
Loan
747,471
1.859%, 
(LIBOR
1M
+
1.750%),
11/19/2026
b,d,e
733,224
Caesars
Resort
Collection,
LLC,
Term
Loan
636,800
4.609%, 
(LIBOR
1M
+
4.500%),
7/20/2025
b
637,596
Carnival
Corporation,
Term
Loan
318,396
8.500%, 
(LIBOR
1M
+
7.500%),
6/30/2025
b
327,948
Cengage
Learning,
Inc.,
Term
Loan
315,277
5.250%, 
(LIBOR
3M
+
4.250%),
6/7/2023
b
311,535
City
Brewing
Company,
LLC,
Term
Loan
75,000
0.000%, 
(LIBOR
1M
+
3.500%),
4/1/2028
b,d,e
74,625
Principal
Amount
Bank
Loans
(21.5%)
a
Value
Consumer
Cyclical
(3.7%)
-
continued
CP
Atlas
Buyer,
Inc.,
Term
Loan
$
395,000
4.250%, 
(LIBOR
2M
+
3.750%),
11/23/2027
b
$
392,101
Golden
Entertainment,
Inc.,
Term
Loan
955,075
3.750%, 
(LIBOR
1M
+
3.000%),
10/20/2024
b
940,749
Golden
Nugget,
LLC,
Term
Loan
470,206
3.250%, 
(LIBOR
2M
+
2.500%),
10/4/2023
b
462,330
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
618,450
3.750%, 
(LIBOR
1M
+
3.000%),
10/19/2027
b
617,324
LCPR
Loan
Financing,
LLC,
Term
Loan
330,000
0.000%, 
(LIBOR
3M
+
3.750%),
10/23/2026
b,d,e
330,413
Michaels
Stores,
Inc.,
Term
Loan
457,700
4.250%, 
(LIBOR
1M
+
3.500%),
10/1/2027
b
457,013
Scientific
Games
International,
Inc.,
Term
Loan
1,548,286
2.859%, 
(LIBOR
1M
+
2.750%),
8/14/2024
b
1,517,212
Staples,
Inc.,
Term
Loan
168,563
4.705%, 
(LIBOR
3M
+
4.500%),
9/12/2024
b
165,543
302,049
5.205%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
294,246
Stars
Group
Holdings
BV,
Term
Loan
374,482
3.703%, 
(LIBOR
3M
+
3.500%),
7/10/2025
b
374,692
Tenneco,
Inc.,
Term
Loan
576,887
3.109%, 
(LIBOR
1M
+
3.000%),
10/1/2025
b
561,167
Truck
Hero,
Inc.,
Term
Loan
110,000
4.500%, 
(LIBOR
1M
+
3.750%),
2/24/2028
b
109,649
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
331,500
1.859%, 
(LIBOR
1M
+
1.750%),
5/30/2025
b
327,724
Total
8,635,091
Consumer
Non-Cyclical
(3.4%)
Adient
US,
LLC,
Term
Loan
383,051
4.380%, 
(LIBOR
1M
+
4.250%),
5/6/2024
b
382,572
Bausch
Health
Americas,
Inc.,
Term
Loan
898,163
3.109%, 
(LIBOR
1M
+
3.000%),
6/1/2025
b
894,759
Chobani,
LLC,
Term
Loan
248,750
4.500%, 
(LIBOR
1M
+
3.500%),
10/23/2027
b
248,377
CNT
Holdings
I
Corporation,
Term
Loan
320,000
4.500%, 
(LIBOR
3M
+
3.750%),
11/8/2027
b
319,101
90,000
7.500%, 
(LIBOR
3M
+
6.750%),
11/6/2028
b,c
90,900
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
308
Principal
Amount
Bank
Loans
(21.5%)
a
Value
Consumer
Non-Cyclical
(3.4%)
-
continued
Dole
Food
Company,
Inc.,
Term
Loan
$
605,000
3.754%, 
(LIBOR
1M
+
2.750%),
4/6/2024
b
$
604,413
Endo
Luxembourg
Finance
Company,
Term
Loan
245,000
0.000%, 
(LIBOR
1M
+
5.000%),
3/25/2028
b,d,e
242,244
Global
Medical
Response,
Inc.,
Term
Loan
164,475
5.250%, 
(LIBOR
3M
+
4.250%),
3/14/2025
b
163,330
1,446,375
5.750%, 
(LIBOR
3M
+
4.750%),
10/2/2025
b
1,440,589
MPH
Acquisition
Holdings,
LLC,
Term
Loan
1,072,612
3.750%, 
(LIBOR
3M
+
2.750%),
6/7/2023
b
1,066,155
Ortho-Clinical
Diagnostics
SA,
Term
Loan
671,906
3.359%, 
(LIBOR
1M
+
3.250%),
6/30/2025
b
670,394
PetSmart,
Inc.,
Term
Loan
760,000
4.500%, 
(LIBOR
3M
+
3.750%),
2/12/2028
b
758,252
Plantronics,
Inc.,
Term
Loan
174,734
2.650%, 
(LIBOR
1M
+
2.500%),
7/2/2025
b
172,239
Precision
Medicine
Group,
LLC,
Delayed
Draw
61,731
0.000%, 
(LIBOR
1M
+
3.000%),
11/20/2027
b,d,e
61,230
Precision
Medicine
Group,
LLC,
Term
Loan
472,086
3.750%, 
(LIBOR
3M
+
3.750%),
11/20/2027
b
468,253
Sotera
Health
Holdings,
LLC,
Term
Loan
309,000
3.250%, 
(LIBOR
3M
+
2.750%),
12/13/2026
b
307,841
Total
7,890,649
Energy
(<0.1%)
Lealand
Finance
Company
BV,
Term
Loan
131,858
0.000%,PIK
3.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b,f
71,642
Total
71,642
Financials
(1.5%)
Asurion,
LLC,
Term
Loan
209,475
3.359%, 
(LIBOR
1M
+
3.250%),
12/23/2026
b
208,017
680,000
3.359%, 
(LIBOR
1M
+
3.250%),
8/3/2027
b,d,e
674,757
415,000
5.359%, 
(LIBOR
1M
+
5.250%),
2/3/2028
b
422,263
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
267,238
2.500%, 
(LIBOR
1M
+
1.750%),
1/15/2025
b
266,118
Principal
Amount
Bank
Loans
(21.5%)
a
Value
Financials
(1.5%)
-
continued
Blackstone
CQP
Holdco,
LP,
Term
Loan
$
304,575
3.687%, 
(LIBOR
3M
+
3.500%),
9/30/2024
b
$
303,625
MoneyGram
International,
Inc.,
Term
Loan
342,715
7.000%, 
(LIBOR
3M
+
6.000%),
6/30/2023
b
342,543
NCR
Corporation,
Term
Loan
518,075
2.720%, 
(LIBOR
3M
+
2.500%),
8/28/2026
b,c
511,599
Newco
Financing
Partnership,
Term
Loan
97,500
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
97,187
Northriver
Midstream
Finance,
LP,
Term
Loan
508,497
3.488%, 
(LIBOR
3M
+
3.250%),
10/1/2025
b
500,952
UPC
Financing
Partnership,
Term
Loan
97,500
3.606%, 
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
97,187
Total
3,424,248
Technology
(1.8%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
466,825
3.712%, 
(LIBOR
3M
+
3.500%),
8/21/2026
b
447,765
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
330,000
3.609%, 
(LIBOR
1M
+
3.500%),
6/30/2027
b
328,211
Prime
Security
Services
Borrower,
LLC,
Term
Loan
1,435,000
3.500%, 
(LIBOR
1M
+
2.750%),
9/23/2026
b
1,428,270
Rackspace
Technology
Global,
Inc.,
Term
Loan
925,000
3.500%, 
(LIBOR
3M
+
2.750%),
2/9/2028
b
916,037
SS&C
Technologies,
Inc.,
Term
Loan
75,942
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,d,e
75,063
56,416
1.859%, 
(LIBOR
1M
+
1.750%),
4/16/2025
b,d,e
55,763
Zayo
Group
Holdings,
Inc.,
Term
Loan
877,428
0.000%, 
(LIBOR
1M
+
3.000%),
3/9/2027
b
869,733
Total
4,120,842
Transportation
(1.2%)
American
Airlines,
Inc.,
Term
Loan
870,000
0.000%, 
(LIBOR
1M
+
4.750%),
3/24/2028
b,d,e
890,393
Genesee
&
Wyoming,
Inc.,
Term
Loan
613,800
2.203%, 
(LIBOR
3M
+
2.000%),
12/30/2026
b
611,308
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
309
Principal
Amount
Bank
Loans
(21.5%)
a
Value
Transportation
(1.2%)
-
continued
Mileage
Plus
Holdings,
LLC,
Term
Loan
$
335,000
6.250%, 
(LIBOR
3M
+
5.250%),
6/20/2027
b
$
355,572
SkyMiles
IP,
Ltd.,
Term
Loan
420,000
4.750%, 
(LIBOR
3M
+
3.750%),
10/20/2027
b
440,580
United
Airlines,
Inc.,
Term
Loan
459,023
1.865%, 
(LIBOR
1M
+
1.750%),
4/1/2024
b
445,170
Total
2,743,023
Utilities
(1.0%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
105,791
2.375%, 
(LIBOR
1M
+
2.250%),
9/24/2026
b
105,791
Core
and
Main,
LP,
Term
Loan
451,234
3.750%, 
(LIBOR
3M
+
2.750%),
8/1/2024
b
449,068
EnergySolutions,
LLC,
Term
Loan
286,888
4.750%, 
(LIBOR
3M
+
3.750%),
5/11/2025
b
285,094
Exgen
Renewables
IV,
LLC,
Term
Loan
638,400
3.750%, 
(LIBOR
3M
+
3.000%),
12/11/2027
b,d,e
638,668
PG&E
Corporation,
Term
Loan
822,927
3.500%, 
(LIBOR
3M
+
3.000%),
6/23/2025
b
821,125
Total
2,299,746
Total
Bank
Loans
(cost
$50,097,295)
50,028,101
Principal
Amount
Long-Term
Fixed
Income
(
56.5%
)
Value
Asset-Backed
Securities
(3.9%)
522
Funding
CLO,
Ltd.
375,000
2.624%, 
(LIBOR
3M
+
2.400%),
4/20/2030,
Ser.
2019-4A,
Class
CR
b,g
374,806
350,000
4.051%, 
(LIBOR
3M
+
3.850%),
10/23/2033,
Ser.
2020-6A,
Class
D
b,g
351,063
Ares
LVII
CLO,
Ltd.
300,000
4.594%, 
(LIBOR
3M
+
4.350%),
10/25/2031,
Ser.
2020-57A,
Class
D
b,g
301,852
Assurant
CLO
III,
Ltd.
450,000
1.454%, 
(LIBOR
3M
+
1.230%),
10/20/2031,
Ser.
2018-3A,
Class
A
b,g
450,016
Babson
CLO,
Ltd.
500,000
3.124%, 
(LIBOR
3M
+
2.900%),
7/20/2029,
Ser.
2018-3A,
Class
D
b,g
485,077
Benefit
Street
Partners
CLO
II,
Ltd.
300,000
2.141%, 
(LIBOR
3M
+
1.900%),
7/15/2029,
Ser.
2013-IIA,
Class
BR2
b,g
295,866
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Asset-Backed
Securities
(3.9%)
-
continued
Cent
CLO,
LP
$
875,000
2.518%, 
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
b,g
$
875,132
College
Ave
Student
Loans,
LLC
137,726
1.759%, 
(LIBOR
1M
+
1.650%),
11/26/2046,
Ser.
2017-A,
Class
A1
b,g
140,313
Conn's
Receivables
Funding
74,654
1.710%, 
6/16/2025,
Ser.
2020-A,
Class
A
g
74,899
Dryden
36
Senior
Loan
Fund
275,000
2.291%, 
(LIBOR
3M
+
2.050%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,g
275,019
Education
Funding
Trust
489,849
2.790%, 
7/25/2041,
Ser.
2020-A,
Class
A
g
503,115
Foundation
Finance
Trust
75,257
3.300%, 
7/15/2033,
Ser.
2017-1A,
Class
A
g
76,537
Freedom
ABS
Trust
168,500
2.520%, 
3/18/2027,
Ser.
2020-FP1,
Class
A
g
169,642
Galaxy
XIX
CLO,
Ltd.
125,000
2.033%, 
(LIBOR
3M
+
1.850%),
7/24/2030,
Ser.
2015-19A,
Class
BRR
b,g
125,013
Harley
Marine
Financing,
LLC
250,105
5.682%, 
5/15/2043,
Ser.
2018-1A,
Class
A2
g
233,285
Octagon
Investment
Partners
50,
Ltd.
400,000
4.470%, 
(LIBOR
3M
+
4.300%),
10/15/2033,
Ser.
2020-4A,
Class
D
b,g
401,441
OHA
Credit
Funding
1,
Ltd.
360,000
1.674%, 
(LIBOR
3M
+
1.450%),
10/20/2030,
Ser.
2018-1A,
Class
A2
b,g
360,029
OZLM
IX,
Ltd.
550,000
1.774%, 
(LIBOR
3M
+
1.550%),
10/20/2031,
Ser.
2014-9A,
Class
A1BR
b,g
550,102
Palmer
Square
CLO,
Ltd.
350,000
2.241%, 
(LIBOR
3M
+
2.000%),
5/21/2029,
Ser.
2015-1A,
Class
BR3
b,g
349,089
Palmer
Square
Loan
Funding,
Ltd.
250,000
2.474%, 
(LIBOR
3M
+
2.250%),
4/20/2027,
Ser.
2019-1A,
Class
B
b,g
250,069
Saxon
Asset
Securities
Trust
120,405
3.672%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
116,300
Sound
Point
CLO
X,
Ltd.
375,000
2.924%, 
(LIBOR
3M
+
2.700%),
1/20/2028,
Ser.
2015-3A,
Class
DR
b,g
375,231
Sound
Point
CLO
XXI,
Ltd.
700,000
1.665%, 
(LIBOR
3M
+
1.450%),
10/26/2031,
Ser.
2018-3A,
Class
A1B
b,g
700,063
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
310
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Asset-Backed
Securities
(3.9%)
-
continued
TCI-Flatiron
CLO,
Ltd.
$
710,000
2.436%, 
(LIBOR
3M
+
2.200%),
1/17/2032,
Ser.
2016-1A,
Class
CR2
b,g
$
708,814
THL
Credit
Wind
River
CLO,
Ltd.
325,000
3.091%, 
(LIBOR
3M
+
2.850%),
7/15/2028,
Ser.
2016-1A,
Class
DR
b,g
321,840
VCAT
Asset
Securitization,
LLC
100,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
g,h
99,793
Vericrest
Opportunity
Loan
Trust
180,000
4.336%, 
2/25/2050,
Ser.
2020-NPL2,
Class
A2
g,h
178,844
Total
9,143,250
Basic
Materials
(1.5%)
Air
Products
and
Chemicals,
Inc.
23,000
1.500%, 
10/15/2025
23,334
Alcoa
Nederland
Holding
BV
150,000
5.500%, 
12/15/2027
g
161,460
Anglo
American
Capital
plc
42,000
2.250%, 
3/17/2028
g
41,367
BWAY
Holding
Company
135,000
5.500%, 
4/15/2024
g
136,856
Chemours
Company
75,000
5.750%, 
11/15/2028
g
78,969
Cleveland-Cliffs,
Inc.
95,000
5.875%, 
6/1/2027
98,325
60,000
4.625%, 
3/1/2029
g
59,898
60,000
4.875%, 
3/1/2031
g
59,850
Consolidated
Energy
Finance
SA
105,000
6.875%, 
6/15/2025
g
106,969
DuPont
de
Nemours,
Inc.
42,000
4.725%, 
11/15/2028
48,816
EI
du
Pont
de
Nemours
&
Company
35,000
1.700%, 
7/15/2025
35,583
First
Quantum
Minerals,
Ltd.
130,000
7.500%, 
4/1/2025
g
134,225
70,000
6.875%, 
10/15/2027
g
75,075
Freeport-McMoRan,
Inc.
140,000
4.125%, 
3/1/2028
147,168
150,000
4.250%, 
3/1/2030
159,750
Hecla
Mining
Company
45,000
7.250%, 
2/15/2028
48,263
Hudbay
Minerals,
Inc.
110,000
4.500%, 
4/1/2026
g
114,324
Ingevity
Corporation
160,000
3.875%, 
11/1/2028
g
155,200
Kinross
Gold
Corporation
38,000
5.125%, 
9/1/2021
38,274
Kraton
Polymers,
LLC
145,000
4.250%, 
12/15/2025
g
145,544
LYB
International
Finance
III,
LLC
59,000
1.250%, 
10/1/2025
58,255
Mercer
International,
Inc.
105,000
5.125%, 
2/1/2029
g
108,780
Mosaic
Company
19,000
3.250%, 
11/15/2022
19,737
63,000
4.050%, 
11/15/2027
69,932
Norbord,
Inc.
165,000
5.750%, 
7/15/2027
g
175,857
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Basic
Materials
(1.5%)
-
continued
Novelis
Corporation
$
140,000
5.875%, 
9/30/2026
g
$
146,125
40,000
4.750%, 
1/30/2030
g
41,228
Nucor
Corporation
20,000
2.000%, 
6/1/2025
20,518
Nutrien,
Ltd.
42,000
4.000%, 
12/15/2026
47,073
OCI
NV
160,000
4.625%, 
10/15/2025
g
165,400
Olin
Corporation
195,000
5.125%, 
9/15/2027
201,825
Steel
Dynamics,
Inc.
25,000
2.400%, 
6/15/2025
26,056
Syngenta
Finance
NV
75,000
3.933%, 
4/23/2021
g
75,139
Tronox
Finance
plc
70,000
5.750%, 
10/1/2025
g
73,019
United
States
Steel
Corporation
170,000
6.875%, 
3/1/2029
173,825
Venator
Finance
SARL
100,000
5.750%, 
7/15/2025
g
97,000
Westlake
Chemical
Corporation
42,000
3.600%, 
8/15/2026
45,399
Xstrata
Finance
Canada,
Ltd.
57,000
4.950%, 
11/15/2021
g
58,592
Total
3,473,010
Capital
Goods
(2.2%)
AECOM
180,000
5.125%, 
3/15/2027
195,862
Amsted
Industries,
Inc.
120,000
5.625%, 
7/1/2027
g
127,350
Ardagh
Packaging
Finance
plc
60,000
6.000%, 
2/15/2025
g
61,830
110,000
5.250%, 
8/15/2027
g
112,209
Boeing
Company
94,000
4.875%, 
5/1/2025
104,664
61,000
2.196%, 
2/4/2026
60,811
63,000
3.250%, 
3/1/2028
64,460
84,000
5.150%, 
5/1/2030
96,747
Bombardier,
Inc.
100,000
7.500%, 
3/15/2025
g
98,375
100,000
7.875%, 
4/15/2027
g
98,069
Brand
Industrial
Services,
Inc.
55,000
8.500%, 
7/15/2025
g
55,429
BWAY
Holding
Company
110,000
7.250%, 
4/15/2025
g
110,000
Carrier
Global
Corporation
63,000
2.722%, 
2/15/2030
63,573
Caterpillar
Financial
Services
Corporation
45,000
1.900%, 
9/6/2022
46,067
60,000
1.950%, 
11/18/2022
61,549
41,000
1.450%, 
5/15/2025
41,559
Cintas
Corporation
No.
2
57,000
2.900%, 
4/1/2022
58,318
CNH
Industrial
Capital,
LLC
60,000
4.875%, 
4/1/2021
60,000
25,000
1.950%, 
7/2/2023
25,672
Cornerstone
Building
Brands,
Inc.
140,000
6.125%, 
1/15/2029
g
149,100
Covanta
Holding
Corporation
120,000
6.000%, 
1/1/2027
125,250
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
311
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Capital
Goods
(2.2%)
-
continued
$
25,000
5.000%, 
9/1/2030
$
25,250
CP
Atlas
Buyer,
Inc.
100,000
7.000%, 
12/1/2028
g
105,105
Crown
Cork
&
Seal
Company,
Inc.
170,000
7.375%, 
12/15/2026
204,637
General
Electric
Company
133,000
3.514%, 
(LIBOR
3M
+
3.330%),
6/15/2021
b,i
125,685
42,000
3.625%, 
5/1/2030
45,220
GFL
Environmental,
Inc.
40,000
4.000%, 
8/1/2028
g
38,700
105,000
3.500%, 
9/1/2028
g
101,850
H&E
Equipment
Services,
Inc.
120,000
3.875%, 
12/15/2028
g
116,700
Honeywell
International,
Inc.
41,000
1.350%, 
6/1/2025
41,592
Howmet
Aerospace,
Inc.
140,000
6.875%, 
5/1/2025
162,225
Huntington
Ingalls
Industries,
Inc.
63,000
4.200%, 
5/1/2030
69,885
Jeld-Wen,
Inc.
90,000
4.625%, 
12/15/2025
g
91,125
50,000
4.875%, 
12/15/2027
g
51,703
John
Deere
Capital
Corporation
53,000
1.200%, 
4/6/2023
53,840
60,000
2.050%, 
1/9/2025
62,417
63,000
1.500%, 
3/6/2028
61,350
Meritor,
Inc.
75,000
4.500%, 
12/15/2028
g
75,225
NESCO
Holdings
II,
Inc.
35,000
5.500%, 
4/15/2029
e,g
35,903
Otis
Worldwide
Corporation
61,000
2.056%, 
4/5/2025
62,808
Owens-Brockway
Glass
Container,
Inc.
95,000
5.875%, 
8/15/2023
g
101,769
Parker-Hannifin
Corporation
71,000
2.700%, 
6/14/2024
75,283
Raytheon
Technologies
Corporation
42,000
4.125%, 
11/16/2028
47,298
Republic
Services,
Inc.
42,000
3.950%, 
5/15/2028
46,872
Roper
Technologies,
Inc.
39,000
2.350%, 
9/15/2024
40,764
41,000
1.000%, 
9/15/2025
40,298
Siemens
Financieringsmaatschappij
NV
63,000
1.700%, 
3/11/2028
g
61,847
SRM
Escrow
Issuer,
LLC
135,000
6.000%, 
11/1/2028
g
141,480
Standard
Industries,
Inc.
200,000
4.375%, 
7/15/2030
g
201,800
Textron,
Inc.
63,000
3.650%, 
3/15/2027
67,845
Titan
Acquisition,
Ltd.
45,000
7.750%, 
4/15/2026
g
46,742
TransDigm,
Inc.
105,000
6.250%, 
3/15/2026
g
111,321
300,000
5.500%, 
11/15/2027
310,539
20,000
4.625%, 
1/15/2029
g
19,721
United
Rentals
North
America,
Inc.
150,000
4.875%, 
1/15/2028
158,006
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Capital
Goods
(2.2%)
-
continued
$
100,000
4.000%, 
7/15/2030
$
101,775
United
Technologies
Corporation
63,000
3.950%, 
8/16/2025
69,970
Waste
Pro
USA,
Inc.
55,000
5.500%, 
2/15/2026
g
56,306
WESCO
Distribution,
Inc.
120,000
7.250%, 
6/15/2028
g
133,967
WW
Grainger,
Inc.
41,000
1.850%, 
2/15/2025
42,249
Total
5,223,966
Collateralized
Mortgage
Obligations
(6.8%)
Antler
Mortgage
Trust
2,104
4.458%, 
6/27/2022,
Ser.
2019-RTL1,
Class
A1
g
2,104
147,455
4.335%, 
7/25/2022,
Ser.
2018-RTL1,
Class
A1
g
147,717
Banc
of
America
Alternative
Loan
Trust
150,150
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
148,734
Banc
of
America
Funding
Trust
209,969
5.500%, 
1/25/2036,
Ser.
2005-8,
Class
1A1
209,201
Banc
of
America
Mortgage
Securities
Trust
183,986
2.631%, 
9/25/2035,
Ser.
2005-H,
Class
3A1
b
185,084
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
134,318
2.310%, 
1/25/2034,
Ser.
2003-8,
Class
5A
b
131,581
40,884
2.410%, 
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
b
41,675
Bellemeade
Re,
Ltd.
317,360
1.709%, 
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,g
317,459
291,167
3.509%, 
(LIBOR
1M
+
3.400%),
6/25/2030,
Ser.
2020-1A,
Class
M1B
b,g
292,163
194,132
2.409%, 
(LIBOR
1M
+
2.300%),
8/26/2030,
Ser.
2020-2A,
Class
M1A
b,g
194,564
Business
Jet
Securities,
LLC
154,105
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
g
155,998
ChaseFlex
Trust
198,095
6.500%, 
2/25/2035,
Ser.
2005-1,
Class
1A5
185,876
CHL
Mortgage
Pass-Through
Trust
184,932
2.716%, 
11/20/2035,
Ser.
2005-HYB7,
Class
6A1
b
162,645
119,447
2.793%, 
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
122,650
90,547
6.000%, 
4/25/2037,
Ser.
2007-3,
Class
A18
67,394
CIM
Trust
161,228
5.000%, 
12/25/2057,
Ser.
2018-R3,
Class
A1
b,g
170,755
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
312
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Collateralized
Mortgage
Obligations
(6.8%)
-
continued
Citigroup
Mortgage
Loan
Trust,
Inc.
$
449,410
2.963%, 
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
$
450,555
Countrywide
Alternative
Loan
Trust
118,267
5.000%, 
3/25/2035,
Ser.
2005-3CB,
Class
1A1
117,252
172,426
5.500%, 
5/25/2035,
Ser.
2005-J3,
Class
1A5
158,109
66,895
5.500%, 
10/25/2035,
Ser.
2005-46CB,
Class
A8
61,687
24,298
5.500%, 
2/25/2036,
Ser.
2005-85CB,
Class
2A2
23,368
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
100,102
2.669%, 
11/25/2035,
Ser.
2005-22,
Class
2A1
b
95,442
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
159,874
5.250%, 
6/25/2035,
Ser.
2005-3,
Class
4A6
161,706
Eagle
Re,
Ltd.
451,174
1.909%, 
(LIBOR
1M
+
1.800%),
4/25/2029,
Ser.
2019-1,
Class
M1B
b,g
452,066
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
525,214
3.000%, 
5/15/2027,
Ser.
4046,
Class
GI
j
28,041
432,645
3.000%, 
7/15/2027,
Ser.
4084,
Class
NI
j
26,090
579,529
3.500%, 
10/15/2032,
Ser.
4119,
Class
KI
j
71,432
690,979
3.000%, 
4/15/2033,
Ser.
4203,
Class
DI
j
50,493
Federal
National
Mortgage
Association
-
REMIC
391,536
3.000%, 
7/25/2027,
Ser.
2012-73,
Class
DI
j
20,941
613,563
3.000%, 
7/25/2027,
Ser.
2012-74,
Class
AI
j
29,217
917,157
3.000%, 
8/25/2027,
Ser.
2012-95,
Class
HI
j
42,859
1,367,068
3.000%, 
11/25/2027,
Ser.
2012-121,
Class
BI
j
87,262
805,466
3.000%, 
12/25/2027,
Ser.
2012-139,
Class
DI
j
41,092
352,070
2.500%, 
1/25/2028,
Ser.
2012-152,
Class
AI
j
18,403
1,039,390
3.000%, 
1/25/2028,
Ser.
2012-147,
Class
EI
j
54,187
1,549,814
3.000%, 
3/25/2028,
Ser.
2013-18,
Class
IL
j
81,030
640,513
2.500%, 
6/25/2028,
Ser.
2013-87,
Class
IW
j
35,770
768,761
3.000%, 
11/25/2031,
Ser.
2013-69,
Class
IO
j
41,516
453,311
3.000%, 
2/25/2033,
Ser.
2013-1,
Class
YI
j
45,811
4,929,951
1.500%, 
2/25/2036,
Ser.
2021-1,
Class
IY
j
328,224
2,667,029
1.500%, 
2/25/2036,
Ser.
2021-3,
Class
UI
j
148,009
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Collateralized
Mortgage
Obligations
(6.8%)
-
continued
First
Horizon
Alternative
Mortgage
Securities
Trust
$
59,808
2.504%, 
7/25/2035,
Ser.
2005-AA5,
Class
2A1
b
$
58,376
FWD
Securitization
Trust
315,887
2.810%, 
6/25/2049,
Ser.
2019-INV1,
Class
A1
b,g
327,022
Genworth
Mortgage
Insurance
Corporation
250,000
2.009%, 
(LIBOR
1M
+
1.900%),
11/26/2029,
Ser.
2019-1,
Class
M1
b,g
250,348
GMAC
Mortgage
Corporation
Loan
Trust
76,517
3.657%, 
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
76,218
19,882
0.609%, 
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,k
25,474
11,401
3.497%, 
9/19/2035,
Ser.
2005-AR5,
Class
5A1
b
10,729
GSAA
Home
Equity
Trust
76,740
4.555%, 
8/25/2034,
Ser.
2004-10,
Class
M2
81,069
Home
Equity
Asset
Trust
327,050
1.429%, 
(LIBOR
1M
+
1.320%),
8/25/2033,
Ser.
2003-2,
Class
M1
b
330,124
IndyMac
IMJA
Mortgage
Loan
Trust
90,462
6.250%, 
11/25/2037,
Ser.
2007-A3,
Class
A1
58,721
IndyMac
INDA
Mortgage
Loan
Trust
757,260
3.110%, 
8/25/2036,
Ser.
2006-AR1,
Class
A1
b
729,565
IndyMac
INDX
Mortgage
Loan
Trust
641,217
0.529%, 
(LIBOR
1M
+
0.420%),
4/25/2046,
Ser.
2006-AR2,
Class
1A1B
b
606,938
J.P.
Morgan
Alternative
Loan
Trust
76,279
6.500%, 
3/25/2036,
Ser.
2006-S1,
Class
1A19
61,180
J.P.
Morgan
Mortgage
Trust
59,519
6.500%, 
1/25/2035,
Ser.
2005-S1,
Class
1A2
64,456
66,503
2.856%, 
7/25/2035,
Ser.
2007-A1,
Class
2A1
b
68,427
71,762
2.810%, 
6/25/2036,
Ser.
2006-A4,
Class
2A2
b
60,736
Legacy
Mortgage
Asset
Trust
452,602
3.250%, 
2/25/2060,
Ser.
2020-GS4,
Class
A1
g,h
457,710
Long
Beach
Mortgage
Loan
Trust
303,964
1.609%, 
(LIBOR
1M
+
1.500%),
9/25/2034,
Ser.
2004-5,
Class
M3
b
311,800
Master
Asset
Securitization
Trust
363,506
0.609%, 
(LIBOR
1M
+
0.500%),
6/25/2036,
Ser.
2006-2,
Class
2A2
b
81,263
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
313
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Collateralized
Mortgage
Obligations
(6.8%)
-
continued
MASTR
Alternative
Loans
Trust
$
60,191
5.000%, 
3/25/2055,
Ser.
2004-10,
Class
3A1
$
60,880
Merrill
Lynch
Alternative
Note
Asset
Trust
93,350
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
58,089
Merrill
Lynch
Mortgage
Investors
Trust
192,782
3.554%, 
6/25/2035,
Ser.
2005-A5,
Class
M1
b
112,040
New
York
Mortgage
Trust
141,466
2.944%, 
10/25/2060,
Ser.
2020-SP2,
Class
A1
b,g
142,010
Oaktown
Re
II,
Ltd.
51,638
1.659%, 
(LIBOR
1M
+
1.550%),
7/25/2028,
Ser.
2018-1A,
Class
M1
b,g
51,655
Oaktown
Re
III,
Ltd.
35,286
1.509%, 
(LIBOR
1M
+
1.400%),
7/25/2029,
Ser.
2019-1A,
Class
M1A
b,g
35,297
Preston
Ridge
Partners
Mortgage
Trust,
LLC
485,777
3.500%, 
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,g
489,800
344,092
4.750%, 
10/25/2024,
Ser.
2019-GS1,
Class
A2
b,g
344,930
230,318
3.671%, 
8/25/2025,
Ser.
2020-2,
Class
A1
g,h
232,876
Radnor
RE,
Ltd.
37,289
1.509%, 
(LIBOR
1M
+
1.400%),
3/25/2028,
Ser.
2018-1,
Class
M1
b,g
37,295
RCO
Mortgage,
LLC
258,197
3.475%, 
11/25/2024,
Ser.
2019-2,
Class
A1
g,h
259,652
Renaissance
Home
Equity
Loan
Trust
222,907
5.797%, 
8/25/2036,
Ser.
2006-2,
Class
AF3
h
125,011
Residential
Accredit
Loans,
Inc.
Trust
206,047
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
201,461
79,010
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
76,563
147,481
5.750%, 
4/25/2037,
Ser.
2007-QS6,
Class
A28
140,498
88,957
6.250%, 
4/25/2037,
Ser.
2007-QS6,
Class
A6
86,748
Residential
Asset
Securitization
Trust
396,207
5.500%, 
4/25/2035,
Ser.
2005-A1,
Class
A3
409,825
Silver
Hill
Trust
309,443
3.102%, 
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,g
320,211
Stanwich
Mortgage
Loan
Trust
193,371
3.475%, 
11/16/2024,
Ser.
2019-NPB2,
Class
A1
g,h
194,471
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Collateralized
Mortgage
Obligations
(6.8%)
-
continued
Starwood
Mortgage
Residential
Trust
$
179,735
4.121%, 
10/25/2048,
Ser.
2018-IMC2,
Class
A1
b,g
$
183,582
400,000
3.970%, 
4/25/2060,
Ser.
2020-2,
Class
A2
b,g
417,514
Structured
Asset
Mortgage
Investments,
Inc.
136,172
0.729%, 
(LIBOR
1M
+
0.620%),
12/25/2035,
Ser.
2005-AR4,
Class
A1
b
131,190
Toorak
Mortgage
Corporation
450,000
2.734%, 
3/25/2023,
Ser.
2020-1,
Class
A1
g,h
451,039
Vericrest
Opportunity
Loan
Transferee
350,000
4.826%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A2
g,h
347,745
400,000
4.949%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A2
g,h
398,417
400,000
3.475%, 
3/25/2050,
Ser.
2020-NPL5,
Class
A1B
g,h
398,942
250,000
4.949%, 
4/25/2051,
Ser.
2021-NPL7,
Class
A2
c,g,h
250,000
Verus
Securitization
Trust
338,936
3.345%, 
5/25/2059,
Ser.
2019-2,
Class
A2
b,g
339,645
Wachovia
Asset
Securitization,
Inc.
133,276
0.258%, 
(LIBOR
1M
+
0.140%),
7/25/2037,
Ser.
2007-HE1,
Class
A
b,g,k
124,540
WaMu
Mortgage
Pass
Through
Certificates
107,363
3.035%, 
10/25/2036,
Ser.
2006-AR12,
Class
1A1
b
107,626
265,311
1.139%, 
(12
MTA
+
0.880%),
10/25/2046,
Ser.
2006-AR13,
Class
1A
b
248,888
Washington
Mutual
Mortgage
Pass-Through
Certificates
128,965
6.000%, 
3/25/2035,
Ser.
2005-1,
Class
2A
127,049
Wells
Fargo
Home
Equity
Trust
109,266
0.859%, 
(LIBOR
1M
+
0.750%),
4/25/2034,
Ser.
2004-1,
Class
M1
b
106,302
Total
15,878,109
Commercial
Mortgage-Backed
Securities
(0.1%)
BFLD
Trust
325,000
1.806%, 
(LIBOR
1M
+
1.700%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,g
328,250
Total
328,250
Communications
Services
(3.7%)
AMC
Networks,
Inc.
135,000
4.250%, 
2/15/2029
131,287
American
Tower
Corporation
49,000
3.375%, 
5/15/2024
52,534
84,000
4.400%, 
2/15/2026
94,634
63,000
3.800%, 
8/15/2029
68,592
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
314
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Communications
Services
(3.7%)
-
continued
AT&T,
Inc.
$
86,000
4.450%, 
4/1/2024
$
94,330
84,000
1.700%, 
3/25/2026
83,971
63,000
4.300%, 
2/15/2030
70,924
CCO
Holdings,
LLC
155,000
5.500%, 
5/1/2026
g
159,851
190,000
5.125%, 
5/1/2027
g
200,890
125,000
4.750%, 
3/1/2030
g
129,531
CCOH
Safari,
LLC
129,000
5.750%, 
2/15/2026
g
133,096
Cengage
Learning,
Inc.
155,000
9.500%, 
6/15/2024
g
157,906
Charter
Communications
Operating,
LLC
60,000
4.500%, 
2/1/2024
65,624
59,000
4.908%, 
7/23/2025
66,885
63,000
5.050%, 
3/30/2029
72,413
Clear
Channel
Worldwide
Holdings,
Inc.
135,000
7.750%, 
4/15/2028
g
133,515
Comcast
Corporation
39,000
3.700%, 
4/15/2024
42,593
39,000
3.950%, 
10/15/2025
43,568
50,000
2.350%, 
1/15/2027
52,192
105,000
3.400%, 
4/1/2030
113,686
Consolidated
Communications,
Inc.
60,000
5.000%, 
10/1/2028
g
60,468
Cox
Communications,
Inc.
54,000
2.950%, 
6/30/2023
g
56,455
Crown
Castle
International
Corporation
42,000
3.800%, 
2/15/2028
45,754
CSC
Holdings,
LLC
170,000
5.500%, 
5/15/2026
g
175,270
150,000
5.375%, 
2/1/2028
g
157,687
Cumulus
Media
New
Holdings,
Inc.
100,000
6.750%, 
7/1/2026
g
101,875
Deutsche
Telekom
International
Finance
BV
34,000
2.485%, 
9/19/2023
g
35,409
Discovery
Communications,
LLC
40,000
2.950%, 
3/20/2023
41,791
DISH
DBS
Corporation
95,000
7.375%, 
7/1/2028
99,660
Embarq
Corporation
80,000
7.995%, 
6/1/2036
92,177
Entercom
Media
Corporation
100,000
6.500%, 
5/1/2027
g
103,375
Fox
Corporation
73,000
4.030%, 
1/25/2024
79,294
42,000
4.709%, 
1/25/2029
48,345
Front
Range
BidCo,
Inc.
130,000
4.000%, 
3/1/2027
g
127,725
100,000
6.125%, 
3/1/2028
g
102,625
Frontier
Communications
Corporation
85,000
5.875%, 
10/15/2027
g
90,100
35,000
6.750%, 
5/1/2029
g
36,914
GCI,
LLC
110,000
4.750%, 
10/15/2028
g
112,612
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Communications
Services
(3.7%)
-
continued
Hughes
Satellite
Systems
Corporation
$
60,000
6.625%, 
8/1/2026
$
66,486
iHeartCommunications,
Inc.
110,000
4.750%, 
1/15/2028
g
110,825
LCPR
Senior
Secured
Financing
DAC
115,000
6.750%, 
10/15/2027
g
122,607
Level
3
Financing,
Inc.
115,000
4.625%, 
9/15/2027
g
118,355
280,000
4.250%, 
7/1/2028
g
283,167
Ligado
Networks,
LLC
55,000
0.000%,PIK
15.500%,
11/1/2023
c,f,g
51,533
Meredith
Corporation
110,000
6.500%, 
7/1/2025
g
118,017
Netflix,
Inc.
41,000
5.875%, 
2/15/2025
46,996
285,000
4.875%, 
4/15/2028
322,406
Nexstar
Escrow
Corporation
155,000
5.625%, 
7/15/2027
g
162,459
Nielsen
Finance,
LLC
50,000
5.625%, 
10/1/2028
g
52,562
NTT
Finance
Corporation
51,000
1.162%, 
4/3/2026
g
50,327
Omnicom
Group,
Inc.
42,000
4.200%, 
6/1/2030
47,265
Radiate
Holdco,
LLC
65,000
6.500%, 
9/15/2028
g
68,637
Scripps
Escrow
II,
Inc.
75,000
3.875%, 
1/15/2029
g
73,687
55,000
5.375%, 
1/15/2031
g
54,587
SFR
Group
SA
265,000
7.375%, 
5/1/2026
g
275,626
Sinclair
Television
Group,
Inc.
165,000
5.500%, 
3/1/2030
g
160,463
Sirius
XM
Radio,
Inc.
145,000
5.000%, 
8/1/2027
g
152,112
30,000
4.125%, 
7/1/2030
g
30,035
Sprint
Capital
Corporation
160,000
6.875%, 
11/15/2028
201,755
115,000
8.750%, 
3/15/2032
170,056
Sprint
Corporation
355,000
7.625%, 
2/15/2025
423,338
Terrier
Media
Buyer,
Inc.
80,000
8.875%, 
12/15/2027
g
86,084
T-Mobile
USA,
Inc.
50,000
3.500%, 
4/15/2025
g
53,944
63,000
3.750%, 
4/15/2027
g
68,869
84,000
3.875%, 
4/15/2030
g
91,170
55,000
2.875%, 
2/15/2031
53,158
United
States
Cellular
Corporation
95,000
6.700%, 
12/15/2033
115,063
Uniti
Group,
LP
55,000
6.500%, 
2/15/2029
g
54,313
Univision
Communications,
Inc.
210,000
6.625%, 
6/1/2027
g
224,264
VeriSign,
Inc.
85,000
4.750%, 
7/15/2027
90,206
Verizon
Communications,
Inc.
42,000
0.750%, 
3/22/2024
42,046
73,000
1.298%, 
(LIBOR
3M
+
1.100%),
5/15/2025
b
74,643
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
315
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Communications
Services
(3.7%)
-
continued
$
128,000
0.850%, 
11/20/2025
$
125,264
84,000
2.100%, 
3/22/2028
84,352
63,000
3.150%, 
3/22/2030
66,448
42,000
2.550%, 
3/21/2031
41,962
Viacom,
Inc.
38,000
5.875%, 
2/28/2057
b
38,620
ViaSat,
Inc.
160,000
5.625%, 
9/15/2025
g
162,634
VTR
Finance
NV
50,000
6.375%, 
7/15/2028
g
54,000
Walt
Disney
Company
84,000
1.750%, 
1/13/2026
85,917
42,000
3.800%, 
3/22/2030
46,814
Ziggo
BV
150,000
5.500%, 
1/15/2027
g
156,188
Total
8,514,818
Consumer
Cyclical
(4.3%)
1011778
B.C.,
ULC
160,000
4.375%, 
1/15/2028
g
160,755
Allied
Universal
Holdco,
LLC
120,000
6.625%, 
7/15/2026
g
127,258
Allison
Transmission,
Inc
155,000
3.750%, 
1/30/2031
g
150,156
Amazon.com,
Inc.
42,000
1.500%, 
6/3/2030
40,021
American
Axle
&
Manufacturing,
Inc.
175,000
6.500%, 
4/1/2027
l
181,562
American
Honda
Finance
Corporation
41,000
1.200%, 
7/8/2025
40,826
Best
Buy
Company,
Inc.
42,000
1.950%, 
10/1/2030
39,560
BMW
Finance
NV
40,000
2.250%, 
8/12/2022
g
40,942
Brookfield
Residential
Properties,
Inc.
235,000
6.250%, 
9/15/2027
g
245,281
Caesars
Entertainment,
Inc.
35,000
8.125%, 
7/1/2027
g
38,596
Carnival
Corporation
115,000
11.500%, 
4/1/2023
g
131,819
85,000
10.500%, 
2/1/2026
g
99,981
40,000
7.625%, 
3/1/2026
g
42,972
120,000
5.750%, 
3/1/2027
g
123,150
Cedar
Fair,
LP
150,000
5.250%, 
7/15/2029
154,183
Cinemark
USA,
Inc.
120,000
5.875%, 
3/15/2026
g
122,873
Clarios
Global,
LP
55,000
8.500%, 
5/15/2027
g
59,194
Colt
Merger
Sub,
Inc.
250,000
6.250%, 
7/1/2025
g
266,504
D.R.
Horton,
Inc.
21,000
2.600%, 
10/15/2025
22,088
Daimler
Finance
North
America,
LLC
63,000
1.450%, 
3/2/2026
g
62,451
Dana,
Inc.
125,000
5.625%, 
6/15/2028
133,750
Darden
Restaurants,
Inc.
84,000
3.850%, 
5/1/2027
91,442
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Consumer
Cyclical
(4.3%)
-
continued
Empire
Communities
Corporation
$
115,000
7.000%, 
12/15/2025
g
$
121,181
Ford
Motor
Company
130,000
9.000%, 
4/22/2025
157,445
40,000
9.625%, 
4/22/2030
55,822
150,000
7.450%, 
7/16/2031
189,124
Ford
Motor
Credit
Company,
LLC
410,000
4.063%, 
11/1/2024
430,110
220,000
4.134%, 
8/4/2025
230,103
Gap,
Inc.
75,000
8.625%, 
5/15/2025
g
83,981
General
Motors
Company
31,000
5.400%, 
10/2/2023
33,660
41,000
6.125%, 
10/1/2025
48,212
63,000
6.800%, 
10/1/2027
78,155
General
Motors
Financial
Company,
Inc.
38,000
3.150%, 
6/30/2022
39,070
80,000
3.950%, 
4/13/2024
86,099
60,000
2.900%, 
2/26/2025
62,909
41,000
2.750%, 
6/20/2025
42,800
44,000
5.700%, 
9/30/2030
b,i
47,520
Hanesbrands,
Inc.
155,000
4.875%, 
5/15/2026
g
166,237
Harley-Davidson
Financial
Services,
Inc.
64,000
4.050%, 
2/4/2022
g
65,810
Herc
Holdings,
Inc.
100,000
5.500%, 
7/15/2027
g
106,420
Hilton
Domestic
Operating
Company,
Inc.
280,000
4.875%, 
1/15/2030
297,024
Home
Depot,
Inc.
44,000
3.750%, 
2/15/2024
47,766
42,000
2.950%, 
6/15/2029
44,529
Hyundai
Capital
America
34,000
1.800%, 
10/15/2025
g
33,965
63,000
3.000%, 
2/10/2027
g
65,545
International
Game
Technology
plc
125,000
5.250%, 
1/15/2029
g
130,375
KB
Home
135,000
4.800%, 
11/15/2029
141,412
Kohl's
Corporation
85,000
9.500%, 
5/15/2025
110,213
42,000
3.375%, 
5/1/2031
42,033
L
Brands,
Inc.
170,000
6.625%, 
10/1/2030
g
194,106
30,000
6.875%, 
11/1/2035
35,754
Landry's,
Inc.
125,000
6.750%, 
10/15/2024
g
126,396
Lennar
Corporation
22,000
4.125%, 
1/15/2022
22,341
39,000
4.875%, 
12/15/2023
42,601
20,000
5.875%, 
11/15/2024
22,700
41,000
4.750%, 
5/30/2025
45,664
Levi
Strauss
&
Company
155,000
3.500%, 
3/1/2031
g
149,575
Live
Nation
Entertainment,
Inc.
75,000
3.750%, 
1/15/2028
g
73,969
Lowe's
Companies,
Inc.
44,000
4.000%, 
4/15/2025
48,680
42,000
4.500%, 
4/15/2030
48,447
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
316
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Consumer
Cyclical
(4.3%)
-
continued
Marriott
International,
Inc.
$
46,000
5.750%, 
5/1/2025
$
52,785
81,000
3.750%, 
10/1/2025
86,521
Mattamy
Group
Corporation
165,000
5.250%, 
12/15/2027
g
172,631
McDonald's
Corporation
126,000
3.800%, 
4/1/2028
139,471
MGM
Resorts
International
125,000
6.000%, 
3/15/2023
133,906
145,000
5.750%, 
6/15/2025
158,050
Nissan
Motor
Company,
Ltd.
51,000
3.043%, 
9/15/2023
g
53,357
O'Reilly
Automotive,
Inc.
63,000
3.900%, 
6/1/2029
69,037
PetSmart,
Inc.
65,000
4.750%, 
2/15/2028
g
66,476
90,000
7.750%, 
2/15/2029
g
97,420
Prime
Security
Services
Borrower,
LLC
240,000
5.750%, 
4/15/2026
g
259,692
Procter
&
Gamble
Company
42,000
1.200%, 
10/29/2030
38,866
Ralph
Lauren
Corporation
41,000
1.700%, 
6/15/2022
41,650
Real
Hero
Merger
Sub
2,
Inc.
80,000
6.250%, 
2/1/2029
g
82,600
Realogy
Group,
LLC
130,000
5.750%, 
1/15/2029
g
128,213
Rite
Aid
Corporation
55,000
7.500%, 
7/1/2025
g
57,131
Ross
Stores,
Inc.
42,000
1.875%, 
4/15/2031
39,400
Royal
Caribbean
Cruises,
Ltd.
160,000
9.125%, 
6/15/2023
g
176,309
60,000
11.500%, 
6/1/2025
g
69,975
55,000
5.500%, 
4/1/2028
g
55,275
Scientific
Games
International,
Inc.
140,000
5.000%, 
10/15/2025
g
144,998
130,000
7.250%, 
11/15/2029
g
141,050
SeaWorld
Parks
and
Entertainment,
Inc.
75,000
9.500%, 
8/1/2025
g
81,512
Six
Flags
Entertainment
Corporation
80,000
5.500%, 
4/15/2027
g,l
82,900
Six
Flags
Theme
Parks,
Inc.
75,000
7.000%, 
7/1/2025
g
81,094
Staples,
Inc.
205,000
7.500%, 
4/15/2026
g
216,224
Target
Corporation
42,000
2.350%, 
2/15/2030
42,581
Tenneco,
Inc.
75,000
5.000%, 
7/15/2026
70,688
TJX
Companies,
Inc.
44,000
3.500%, 
4/15/2025
47,966
Toll
Brothers
Finance
Corporation
82,000
5.875%, 
2/15/2022
84,050
Toyota
Motor
Credit
Corporation
49,000
0.450%, 
1/11/2024
48,866
65,000
0.800%, 
10/16/2025
63,868
Uber
Technologies,
Inc.
80,000
6.250%, 
1/15/2028
g
87,136
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Consumer
Cyclical
(4.3%)
-
continued
VF
Corporation
$
46,000
2.050%, 
4/23/2022
$
46,754
Vista
Outdoor,
Inc.
135,000
4.500%, 
3/15/2029
g
133,576
Volkswagen
Group
of
America
Finance,
LLC
63,000
4.250%, 
11/13/2023
g
68,468
21,000
3.350%, 
5/13/2025
g
22,548
Wyndham
Destinations,
Inc.
100,000
6.625%, 
7/31/2026
g
113,535
Wyndham
Hotels
&
Resorts,
Inc.
60,000
4.375%, 
8/15/2028
g
60,690
Yum!
Brands,
Inc.
150,000
4.750%, 
1/15/2030
g
158,595
ZF
North
America
Capital,
Inc.
60,000
4.750%, 
4/29/2025
g
64,412
Total
9,983,393
Consumer
Non-Cyclical
(4.4%)
Abbott
Laboratories
84,000
3.875%, 
9/15/2025
93,168
AbbVie,
Inc.
38,000
2.900%, 
11/6/2022
39,410
53,000
2.300%, 
11/21/2022
54,537
34,000
2.800%, 
3/15/2023
35,254
168,000
3.600%, 
5/14/2025
183,024
84,000
3.200%, 
11/21/2029
89,357
Agilent
Technologies,
Inc
42,000
2.300%, 
3/12/2031
40,897
Albertson's
Companies,
Inc.
25,000
7.500%, 
3/15/2026
g
27,615
195,000
3.500%, 
3/15/2029
g
185,570
50,000
4.875%, 
2/15/2030
g
51,400
Altria
Group,
Inc.
52,000
4.400%, 
2/14/2026
58,638
42,000
4.800%, 
2/14/2029
48,258
Amgen,
Inc.
63,000
2.450%, 
2/21/2030
63,436
Anheuser-Busch
Companies,
LLC
36,000
3.650%, 
2/1/2026
39,582
Anheuser-Busch
InBev
Worldwide,
Inc.
51,000
4.150%, 
1/23/2025
56,677
84,000
4.750%, 
1/23/2029
98,158
Anthem,
Inc.
74,000
2.375%, 
1/15/2025
77,339
42,000
2.550%, 
3/15/2031
42,007
Aramark
Services,
Inc.
80,000
6.375%, 
5/1/2025
g
84,800
AstraZeneca
plc
85,000
0.700%, 
4/8/2026
81,866
BAT
Capital
Corporation
59,000
3.222%, 
8/15/2024
62,856
BAT
International
Finance
plc
41,000
1.668%, 
3/25/2026
40,581
Bausch
Health
Companies,
Inc.
180,000
5.000%, 
1/30/2028
g
182,250
130,000
5.000%, 
2/15/2029
g
129,106
Becton,
Dickinson
and
Company
63,000
2.823%, 
5/20/2030
64,585
Boston
Scientific
Corporation
75,000
3.450%, 
3/1/2024
80,513
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
317
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Consumer
Non-Cyclical
(4.4%)
-
continued
Bristol-Myers
Squibb
Company
$
84,000
3.200%, 
6/15/2026
$
91,371
63,000
3.900%, 
2/20/2028
70,868
Bunge,
Ltd.
Finance
Corporation
42,000
1.630%, 
8/17/2025
42,018
Cargill,
Inc.
43,000
1.375%, 
7/23/2023
g
43,883
Centene
Corporation
61,000
5.375%, 
8/15/2026
g
64,349
40,000
4.250%, 
12/15/2027
42,075
105,000
4.625%, 
12/15/2029
113,642
170,000
3.000%, 
10/15/2030
169,718
Central
Garden
&
Pet
Company
135,000
4.125%, 
10/15/2030
136,350
Cigna
Corporation
76,000
4.125%, 
11/15/2025
84,740
Coca-Cola
Company
63,000
1.500%, 
3/5/2028
61,944
Community
Health
Systems,
Inc.
55,000
5.625%, 
3/15/2027
g
57,612
75,000
6.000%, 
1/15/2029
g
79,312
145,000
6.875%, 
4/15/2029
g
151,796
Conagra
Brands,
Inc.
38,000
4.300%, 
5/1/2024
41,903
Constellation
Brands,
Inc.
84,000
3.150%, 
8/1/2029
87,984
CVS
Health
Corporation
38,000
2.750%, 
12/1/2022
39,246
69,000
4.100%, 
3/25/2025
76,436
84,000
4.300%, 
3/25/2028
95,389
42,000
3.750%, 
4/1/2030
45,816
DaVita,
Inc.
195,000
4.625%, 
6/1/2030
g
198,678
Diageo
Capital
plc
50,000
1.375%, 
9/29/2025
50,464
Edgewell
Personal
Care
Company
80,000
5.500%, 
6/1/2028
g
84,480
Encompass
Health
Corporation
215,000
4.500%, 
2/1/2028
220,186
Endo
Finance,
LLC
70,000
9.500%, 
7/31/2027
g
76,038
Energizer
Holdings,
Inc.
130,000
4.375%, 
3/31/2029
g
130,455
Estee
Lauder
Companies,
Inc.
42,000
1.950%, 
3/15/2031
40,703
General
Mills,
Inc.
42,000
4.200%, 
4/17/2028
47,436
Gilead
Sciences,
Inc.
63,000
2.950%, 
3/1/2027
66,981
H.
J.
Heinz
Company
40,000
5.200%, 
7/15/2045
46,262
HCA,
Inc.
445,000
5.375%, 
2/1/2025
496,404
105,000
5.250%, 
6/15/2026
120,683
HLF
Financing
SARL,
LLC
115,000
7.250%, 
8/15/2026
g
120,463
Illumina,
Inc.
130,000
9.000%, 
7/1/2028
g
146,289
Imperial
Brands
Finance
plc
34,000
3.125%, 
7/26/2024
g
35,931
JBS
Investments
II
GmbH
130,000
5.750%, 
1/15/2028
g
137,150
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Consumer
Non-Cyclical
(4.4%)
-
continued
JBS
USA,
LLC
$
80,000
5.500%, 
1/15/2030
g
$
88,540
Keurig
Dr
Pepper,
Inc.
84,000
2.250%, 
3/15/2031
82,586
Kraft
Foods
Group,
Inc.
190,000
5.000%, 
6/4/2042
213,826
Kraft
Heinz
Foods
Company
240,000
4.625%, 
1/30/2029
269,360
245,000
3.750%, 
4/1/2030
260,030
20,000
4.250%, 
3/1/2031
22,019
Kroger
Company
42,000
4.500%, 
1/15/2029
48,683
Mattel,
Inc.
135,000
3.375%, 
4/1/2026
g
139,379
McKesson
Corporation
41,000
0.900%, 
12/3/2025
40,148
42,000
3.950%, 
2/16/2028
46,953
Medtronic,
Inc.
15,000
3.500%, 
3/15/2025
16,452
Molina
Healthcare,
Inc.
140,000
4.375%, 
6/15/2028
g
144,054
MPH
Acquisition
Holdings,
LLC
80,000
5.750%, 
11/1/2028
g,l
78,000
Mylan,
Inc.
34,000
4.200%, 
11/29/2023
36,680
Novartis
Capital
Corporation
40,000
1.750%, 
2/14/2025
41,184
98,000
3.000%, 
11/20/2025
105,793
Ortho-Clinical
Diagnostics,
Inc.
80,000
7.250%, 
2/1/2028
g
87,653
Par
Pharmaceutical,
Inc.
195,000
7.500%, 
4/1/2027
g
206,827
PepsiCo,
Inc.
63,000
1.625%, 
5/1/2030
60,226
Philip
Morris
International,
Inc.
90,000
1.500%, 
5/1/2025
91,224
Pilgrim's
Pride
Corporation
50,000
5.875%, 
9/30/2027
g
53,585
QBE
Insurance
Group,
Ltd.
44,000
5.875%, 
5/12/2025
b,g,i
47,355
Royalty
Pharma
plc
97,000
1.200%, 
9/2/2025
g
94,994
Scotts
Miracle-Gro
Company
130,000
4.500%, 
10/15/2029
134,024
SEG
Holding,
LLC
160,000
5.625%, 
10/15/2028
g
167,600
Simmons
Foods,
Inc.
75,000
4.625%, 
3/1/2029
g
75,658
Spectrum
Brands,
Inc.
65,000
5.000%, 
10/1/2029
g
68,575
60,000
5.500%, 
7/15/2030
g
64,200
Stryker
Corporation
42,000
3.650%, 
3/7/2028
46,397
Syneos
Health,
Inc.
110,000
3.625%, 
1/15/2029
g
106,975
Sysco
Corporation
78,000
5.650%, 
4/1/2025
90,699
42,000
5.950%, 
4/1/2030
52,482
Teleflex,
Inc.
200,000
4.875%, 
6/1/2026
205,000
Tenet
Healthcare
Corporation
110,000
4.625%, 
7/15/2024
112,276
285,000
5.125%, 
11/1/2027
g
298,025
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
318
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Consumer
Non-Cyclical
(4.4%)
-
continued
$
55,000
6.125%, 
10/1/2028
g
$
57,406
Teva
Pharmaceutical
Finance
Netherlands
III
BV
12,000
2.200%, 
7/21/2021
11,985
175,000
2.800%, 
7/21/2023
174,221
Thermo
Fisher
Scientific,
Inc.
43,000
4.133%, 
3/25/2025
47,749
United
Natural
Foods,
Inc.
110,000
6.750%, 
10/15/2028
g
117,563
UnitedHealth
Group,
Inc.
105,000
3.850%, 
6/15/2028
117,874
Upjohn,
Inc.
41,000
1.650%, 
6/22/2025
g
41,145
VRX
Escrow
Corporation
315,000
6.125%, 
4/15/2025
g
322,938
Zoetis,
Inc.
52,000
3.250%, 
2/1/2023
54,191
63,000
3.900%, 
8/20/2028
70,054
Total
10,338,527
Energy
(3.6%)
Antero
Midstream
Partners,
LP
55,000
5.750%, 
3/1/2027
g
55,012
Antero
Resources
Corporation
115,000
5.000%, 
3/1/2025
l
115,089
Apache
Corporation
50,000
4.875%, 
11/15/2027
51,250
90,000
4.375%, 
10/15/2028
89,730
70,000
5.100%, 
9/1/2040
68,425
Archrock
Partners,
LP
120,000
6.250%, 
4/1/2028
g
121,896
BP
Capital
Markets
America,
Inc.
41,000
2.520%, 
9/19/2022
42,161
44,000
2.937%, 
4/6/2023
46,215
101,000
4.234%, 
11/6/2028
114,584
BP
Capital
Markets
plc
44,000
4.875%, 
3/22/2030
b,i
47,135
Buckeye
Partners,
LP
40,000
4.125%, 
3/1/2025
g
40,812
125,000
3.950%, 
12/1/2026
123,557
Canadian
Natural
Resources,
Ltd.
105,000
2.050%, 
7/15/2025
106,175
Cenovus
Energy,
Inc.
115,000
5.375%, 
7/15/2025
129,239
Centennial
Resource
Production,
LLC
110,000
6.875%, 
4/1/2027
g
97,900
Cheniere
Corpus
Christi
Holdings,
LLC
86,000
5.875%, 
3/31/2025
98,002
Cheniere
Energy
Partners,
LP
270,000
5.625%, 
10/1/2026
282,339
Chevron
Corporation
21,000
1.141%, 
5/11/2023
21,365
41,000
1.554%, 
5/11/2025
41,837
Chevron
USA,
Inc.
65,000
3.900%, 
11/15/2024
71,570
Cimarex
Energy
Company
84,000
4.375%, 
6/1/2024
91,356
CNX
Resources
Corporation
70,000
6.000%, 
1/15/2029
g
72,743
Comstock
Resources,
Inc.
60,000
9.750%, 
8/15/2026
65,100
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Energy
(3.6%)
-
continued
Continental
Resources,
Inc.
$
13,000
4.500%, 
4/15/2023
$
13,464
60,000
4.375%, 
1/15/2028
63,090
75,000
5.750%, 
1/15/2031
g
84,739
Devon
Energy
Corporation
41,000
5.850%, 
12/15/2025
47,807
Diamondback
Energy,
Inc.
40,000
2.875%, 
12/1/2024
42,182
21,000
3.125%, 
3/24/2031
20,965
Enagas
SA
165,000
5.500%, 
1/15/2028
g
161,147
Enbridge,
Inc.
42,000
3.700%, 
7/15/2027
45,676
139,000
6.250%, 
3/1/2078
b
145,519
Encana
Corporation
55,000
6.625%, 
8/15/2037
66,141
Endeavor
Energy
Resources,
LP
90,000
5.750%, 
1/30/2028
g
95,069
Energean
Israel
Finance,
Ltd.
105,000
4.500%, 
3/30/2024
g
105,533
Energy
Transfer
Operating,
LP
42,000
4.200%, 
9/15/2023
44,977
91,000
5.875%, 
1/15/2024
101,299
43,000
6.625%, 
2/15/2028
b,i
38,055
63,000
3.750%, 
5/15/2030
64,951
EnLink
Midstream
Partners,
LP
120,000
4.850%, 
7/15/2026
115,924
75,000
5.600%, 
4/1/2044
62,250
Enterprise
Products
Operating,
LLC
42,000
4.150%, 
10/16/2028
47,322
105,000
4.875%, 
8/16/2077
b
98,744
EOG
Resources,
Inc.
45,000
2.625%, 
3/15/2023
46,714
EQM
Midstream
Partners,
LP
140,000
6.500%, 
7/1/2027
g
152,215
55,000
6.500%, 
7/15/2048
54,862
EQT
Corporation
180,000
3.900%, 
10/1/2027
183,600
Equinor
ASA
43,000
2.875%, 
4/6/2025
45,914
Exxon
Mobil
Corporation
85,000
2.992%, 
3/19/2025
91,085
Genesis
Energy,
LP
55,000
6.500%, 
10/1/2025
53,914
Harvest
Midstream,
LP
140,000
7.500%, 
9/1/2028
g
150,458
Hess
Corporation
27,000
3.500%, 
7/15/2024
28,486
Hess
Midstream
Operations,
LP
95,000
5.625%, 
2/15/2026
g
97,850
Hilcorp
Energy
I,
LP
115,000
5.750%, 
2/1/2029
g
116,006
Kinder
Morgan
Energy
Partners,
LP
64,000
3.450%, 
2/15/2023
67,006
Marathon
Oil
Corporation
42,000
4.400%, 
7/15/2027
46,234
Marathon
Petroleum
Corporation
34,000
4.750%, 
12/15/2023
37,343
41,000
4.700%, 
5/1/2025
46,080
MPLX,
LP
105,000
1.750%, 
3/1/2026
105,160
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
319
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Energy
(3.6%)
-
continued
Murphy
Oil
Corporation
$
80,000
5.875%, 
12/1/2027
$
78,400
Nabors
Industries,
Ltd.
90,000
7.250%, 
1/15/2026
g
74,700
National
Fuel
Gas
Company
84,000
5.500%, 
1/15/2026
95,999
Newfield
Exploration
Company
136,000
5.625%, 
7/1/2024
149,508
NGL
Energy
Operating,
LLC
75,000
7.500%, 
2/1/2026
g
77,062
NGL
Energy
Partners,
LP
75,000
7.500%, 
11/1/2023
72,375
NuStar
Logistics,
LP
120,000
5.750%, 
10/1/2025
128,462
Occidental
Petroleum
Corporation
50,000
3.450%, 
7/15/2024
50,000
190,000
2.900%, 
8/15/2024
187,918
125,000
3.400%, 
4/15/2026
121,375
40,000
8.500%, 
7/15/2027
47,400
140,000
3.500%, 
8/15/2029
131,362
80,000
6.450%, 
9/15/2036
88,301
205,000
4.400%, 
4/15/2046
175,570
ONEOK,
Inc.
63,000
2.200%, 
9/15/2025
64,145
Ovintiv,
Inc.
40,000
7.375%, 
11/1/2031
50,880
PBF
Holding
Company,
LLC
110,000
9.250%, 
5/15/2025
g
112,304
Pioneer
Natural
Resources
Company
63,000
1.900%, 
8/15/2030
58,468
Plains
All
American
Pipeline,
LP
2,000
6.125%, 
11/15/2022
b,i
1,625
103,000
4.650%, 
10/15/2025
112,859
Range
Resources
Corporation
55,000
9.250%, 
2/1/2026
59,759
55,000
8.250%, 
1/15/2029
g
58,850
Sabine
Pass
Liquefaction,
LLC
63,000
4.200%, 
3/15/2028
69,116
Schlumberger
Finance
Canada,
Ltd.
41,000
1.400%, 
9/17/2025
41,035
Schlumberger
Holdings
Corporation
27,000
4.300%, 
5/1/2029
g
29,998
Shell
International
Finance
BV
39,000
2.375%, 
4/6/2025
41,108
Southwestern
Energy
Company
95,000
7.500%, 
4/1/2026
100,512
30,000
7.750%, 
10/1/2027
32,062
Suncor
Energy,
Inc.
41,000
3.100%, 
5/15/2025
43,785
Sunoco,
LP
115,000
5.875%, 
3/15/2028
120,362
Targa
Resources
Partners,
LP
90,000
5.375%, 
2/1/2027
93,336
Teine
Energy,
Ltd.
110,000
6.875%, 
4/15/2029
e,g
111,331
Transocean
Guardian,
Ltd.
90,626
5.875%, 
1/15/2024
g
79,298
Transocean
Proteus,
Ltd.
45,000
6.250%, 
12/1/2024
g
42,750
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Energy
(3.6%)
-
continued
USA
Compression
Partners,
LP
$
40,000
6.875%, 
4/1/2026
$
41,025
Vine
Energy
Holdings,
LLC
70,000
6.750%, 
4/15/2029
e,g
70,000
W&T
Offshore,
Inc.
130,000
9.750%, 
11/1/2023
g
115,011
Weatherford
International,
Ltd.
115,000
8.750%, 
9/1/2024
g
120,302
80,000
11.000%, 
12/1/2024
g
76,800
Western
Gas
Partners,
LP
39,000
4.000%, 
7/1/2022
39,976
Western
Midstream
Operating,
LP
60,000
4.350%, 
2/1/2025
62,100
105,000
3.950%, 
6/1/2025
107,836
65,000
5.500%, 
8/15/2048
63,968
Williams
Companies,
Inc.
42,000
2.600%, 
3/15/2031
41,052
Williams
Partners,
LP
42,000
4.500%, 
11/15/2023
45,738
WPX
Energy,
Inc.
41,000
5.250%, 
9/15/2024
45,459
Total
8,412,555
Financials
(7.7%)
ACE
INA
Holdings,
Inc.
35,000
2.875%, 
11/3/2022
36,201
AerCap
Ireland
Capital
DAC
70,000
3.150%, 
2/15/2024
72,936
63,000
6.500%, 
7/15/2025
73,444
Air
Lease
Corporation
48,000
4.650%, 
6/15/2026
b,i
47,400
Aircastle,
Ltd.
78,000
5.000%, 
4/1/2023
83,137
Ally
Financial,
Inc.
130,000
5.750%, 
11/20/2025
147,690
42,000
8.000%, 
11/1/2031
58,492
American
Express
Company
34,000
3.700%, 
8/3/2023
36,391
36,000
3.400%, 
2/22/2024
38,742
American
International
Group,
Inc.
84,000
4.200%, 
4/1/2028
94,335
Ares
Capital
Corporation
21,000
4.250%, 
3/1/2025
22,529
100,000
3.875%, 
1/15/2026
105,389
Athene
Global
Funding
63,000
4.000%, 
1/25/2022
g
64,831
Australia
and
New
Zealand
Banking
Group,
Ltd.
96,000
2.950%, 
7/22/2030
b,g
99,217
Aviation
Capital
Group,
LLC
56,000
5.500%, 
12/15/2024
g
62,616
Avolon
Holdings
Funding,
Ltd.
18,000
5.250%, 
5/15/2024
g
19,442
45,000
4.250%, 
4/15/2026
g
47,134
BAC
Capital
Trust
XIV
42,000
4.000%, 
(LIBOR
3M
+
0.400%),
4/19/2021
b,i
41,265
Banco
Santander
Mexico
SA
26,000
5.375%, 
4/17/2025
g
29,193
Bank
of
America
Corporation
73,000
3.004%, 
12/20/2023
b
75,923
117,000
3.550%, 
3/5/2024
b
123,444
78,000
3.864%, 
7/23/2024
b
83,544
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
320
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Financials
(7.7%)
-
continued
$
87,000
4.200%, 
8/26/2024
$
95,957
44,000
6.100%, 
9/5/2024
b,i
48,840
213,000
6.250%, 
3/5/2025
b,i
235,748
36,000
3.458%, 
3/15/2025
b
38,656
102,000
1.319%, 
6/19/2026
b
101,689
111,000
1.197%, 
10/24/2026
b
109,561
86,000
5.875%, 
3/15/2028
b,i
93,798
126,000
3.593%, 
7/21/2028
b
136,748
168,000
3.974%, 
2/7/2030
b
186,461
Bank
of
Montreal
103,000
3.300%, 
2/5/2024
110,481
Bank
of
New
York
Mellon
Corporation
22,000
4.700%, 
9/20/2025
b,i
23,836
63,000
3.400%, 
1/29/2028
68,898
Bank
of
Nova
Scotia
66,000
4.900%, 
6/4/2025
b,i
70,167
41,000
1.050%, 
3/2/2026
40,348
Barclays
plc
76,000
4.610%, 
2/15/2023
b
78,522
99,000
4.338%, 
5/16/2024
b
106,007
46,000
8.000%, 
6/15/2024
b,i
51,060
41,000
4.375%, 
9/11/2024
44,812
49,000
2.852%, 
5/7/2026
b
51,295
64,000
4.972%, 
5/16/2029
b
73,590
BB&T
Corporation
34,000
2.500%, 
8/1/2024
35,797
BNP
Paribas
SA
49,000
2.819%, 
11/19/2025
b,g
51,580
Boston
Properties,
LP
42,000
2.550%, 
4/1/2032
40,264
BPCE
SA
34,000
3.000%, 
5/22/2022
g
34,977
40,000
2.375%, 
1/14/2025
g
41,325
Brixmor
Operating
Partnership,
LP
42,000
2.250%, 
4/1/2028
41,211
Burford
Capital
Global
Finance,
LLC
60,000
6.250%, 
4/15/2028
e,g
61,500
Canadian
Imperial
Bank
of
Commerce
40,000
2.250%, 
1/28/2025
41,481
CANPACK
SA
150,000
3.125%, 
11/1/2025
g
152,250
Capital
One
Bank
USA
NA
51,000
3.375%, 
2/15/2023
53,570
60,000
2.280%, 
1/28/2026
b
61,587
Cascades
USA,
Inc.
120,000
5.125%, 
1/15/2026
g
127,350
Central
Fidelity
Capital
Trust
I
175,000
1.241%, 
(LIBOR
3M
+
1.000%),
4/15/2027
b
167,219
Charles
Schwab
Corporation
96,000
5.375%, 
6/1/2025
b,i
106,048
96,000
4.000%, 
6/1/2026
b,i
97,421
63,000
2.000%, 
3/20/2028
63,280
Chobani,
LLC
150,000
4.625%, 
11/15/2028
g
153,000
CIT
Group,
Inc.
84,000
5.250%, 
3/7/2025
94,605
Citigroup,
Inc.
37,000
2.750%, 
4/25/2022
37,878
81,000
3.142%, 
1/24/2023
b
82,682
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Financials
(7.7%)
-
continued
$
88,000
5.950%, 
1/30/2023
b,i
$
92,323
84,000
5.000%, 
9/12/2024
b,i
86,545
105,000
3.352%, 
4/24/2025
b
112,372
42,000
5.950%, 
5/15/2025
b,i
45,255
100,000
5.500%, 
9/13/2025
115,907
44,000
4.000%, 
12/10/2025
b,i
44,429
110,000
3.875%, 
2/18/2026
b,i
109,486
148,000
1.122%, 
1/28/2027
b
144,769
168,000
4.075%, 
4/23/2029
b
186,900
CNA
Financial
Corporation
36,000
3.950%, 
5/15/2024
39,108
Comerica,
Inc.
22,000
5.625%, 
7/1/2025
b,i
24,227
Commonwealth
Bank
of
Australia
51,000
2.688%, 
3/11/2031
g
49,522
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
74,000
3.950%, 
11/9/2022
77,915
Cooperatieve
Rabobank
UA
41,000
1.339%, 
6/24/2026
b,g
40,656
Corporate
Office
Properties,
LP
41,000
2.250%, 
3/15/2026
41,663
Credit
Acceptance
Corporation
130,000
5.125%, 
12/31/2024
g
132,600
Credit
Agricole
SA
44,000
8.125%, 
12/23/2025
b,g,i
53,020
42,000
3.250%, 
1/14/2030
g
43,177
Credit
Suisse
Group
AG
59,000
6.500%, 
8/8/2023
g
64,885
24,000
7.500%, 
12/11/2023
b,g,i
25,976
39,000
2.593%, 
9/11/2025
b,g
40,442
43,000
3.869%, 
1/12/2029
b,g
46,108
Credit
Suisse
Group
Funding
(Guernsey),
Ltd.
54,000
3.800%, 
9/15/2022
56,243
Dai-ichi
Life
Insurance
Company,
Ltd.
130,000
5.100%, 
10/28/2024
b,g,i,l
143,812
Danske
Bank
AS
56,000
5.000%, 
1/12/2023
b,g
57,780
Deutsche
Bank
AG
143,000
2.129%, 
11/24/2026
b
143,360
Digital
Realty
Trust,
LP
63,000
3.700%, 
8/15/2027
69,451
Discover
Bank
84,000
4.682%, 
8/9/2028
b
89,594
Drawbridge
Special
Opportunities
Fund,
LP
170,000
3.875%, 
2/15/2026
g
174,379
Duke
Realty,
LP
63,000
4.000%, 
9/15/2028
69,881
ESH
Hospitality,
Inc.
80,000
5.250%, 
5/1/2025
g
81,600
105,000
4.625%, 
10/1/2027
g
111,052
Fidelity
National
Financial,
Inc.
62,000
5.500%, 
9/1/2022
66,199
Fifth
Third
Bancorp
40,000
4.500%, 
9/30/2025
b,i
42,480
Fifth
Third
Bank
NA
42,000
3.850%, 
3/15/2026
46,235
First
Horizon
National
Corporation
49,000
3.550%, 
5/26/2023
51,797
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
321
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Financials
(7.7%)
-
continued
Five
Corners
Funding
Trust
$
100,000
4.419%, 
11/15/2023
g
$
109,697
FNB
Corporation
81,000
2.200%, 
2/24/2023
82,581
Fortress
Transportation
75,000
6.500%, 
10/1/2025
g
78,375
GE
Capital
Funding,
LLC
21,000
4.050%, 
5/15/2027
g
23,400
42,000
4.400%, 
5/15/2030
g
47,550
Global
Net
Lease,
Inc.
110,000
3.750%, 
12/15/2027
g
107,220
Goldman
Sachs
Group,
Inc.
82,000
0.627%, 
11/17/2023
b
82,015
68,000
3.625%, 
2/20/2024
73,178
111,000
5.500%, 
8/10/2024
b,i
119,880
44,000
3.500%, 
4/1/2025
47,670
61,000
3.272%, 
9/29/2025
b
65,457
61,000
4.250%, 
10/21/2025
68,088
62,000
0.855%, 
2/12/2026
b
60,940
84,000
3.814%, 
4/23/2029
b
92,032
Hartford
Financial
Services
Group,
Inc.
42,000
2.800%, 
8/19/2029
43,568
34,000
2.319%, 
(LIBOR
3M
+
2.125%),
2/12/2047
b,g
32,639
Healthpeak
Properties,
Inc.
42,000
4.000%, 
6/1/2025
46,425
HSBC
Holdings
plc
76,000
6.875%, 
6/1/2021
b,i
76,661
49,000
3.803%, 
3/11/2025
b
52,913
24,000
6.375%, 
3/30/2025
b,i
26,448
49,000
2.633%, 
11/7/2025
b
51,210
37,000
1.645%, 
4/18/2026
b
37,023
49,000
1.589%, 
5/24/2027
b
48,222
42,000
6.500%, 
3/23/2028
b,i
47,092
118,000
4.583%, 
6/19/2029
b
132,608
66,000
4.600%, 
12/17/2030
b,i
65,257
Huntington
Bancshares,
Inc.
66,000
4.450%, 
10/15/2027
b,i
68,719
Icahn
Enterprises,
LP
255,000
6.375%, 
12/15/2025
263,287
Intercontinental
Exchange,
Inc.
41,000
0.700%, 
6/15/2023
41,110
Iron
Mountain,
Inc.
165,000
4.875%, 
9/15/2027
g
168,816
iStar,
Inc.
115,000
4.250%, 
8/1/2025
115,793
J.P.
Morgan
Chase
&
Company
58,000
2.776%, 
4/25/2023
b
59,395
48,000
5.150%, 
5/1/2023
b,i
49,651
44,000
6.000%, 
8/1/2023
b,i
46,122
44,000
6.750%, 
2/1/2024
b,i
48,180
49,000
1.514%, 
6/1/2024
b
50,017
144,000
5.000%, 
8/1/2024
b,i
148,860
87,000
3.875%, 
9/10/2024
95,378
176,000
4.023%, 
12/5/2024
b
190,946
126,000
4.600%, 
2/1/2025
b,i
127,417
44,000
2.083%, 
4/22/2026
b
45,191
129,000
1.045%, 
11/19/2026
b
125,995
126,000
4.005%, 
4/23/2029
b
140,513
168,000
4.493%, 
3/24/2031
b
193,565
KeyBank
NA
63,000
3.900%, 
4/13/2029
68,842
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Financials
(7.7%)
-
continued
Kilroy
Realty,
LP
$
46,000
4.375%, 
10/1/2025
$
50,572
Lincoln
National
Corporation
42,000
3.800%, 
3/1/2028
46,415
40,000
2.549%, 
(LIBOR
3M
+
2.358%),
5/17/2066
b
34,295
Lloyds
Banking
Group
plc
59,000
2.858%, 
3/17/2023
b
60,241
75,000
3.900%, 
3/12/2024
81,412
46,000
7.500%, 
6/27/2024
b,i
51,290
84,000
1.627%, 
5/11/2027
b
83,389
80,000
6.657%, 
5/21/2037
b,g,i
103,200
LPL
Holdings,
Inc.
90,000
4.000%, 
3/15/2029
g
90,675
Mastercard,
Inc.
42,000
1.900%, 
3/15/2031
41,283
MetLife,
Inc.
44,000
3.850%, 
9/15/2025
b,i
45,430
84,000
5.875%, 
3/15/2028
b,i
93,030
MGM
Growth
Properties
Operating
Partnership,
LP
110,000
4.625%, 
6/15/2025
g
116,017
50,000
5.750%, 
2/1/2027
55,122
Mid-America
Apartments,
LP
84,000
4.200%, 
6/15/2028
93,932
Mitsubishi
UFJ
Financial
Group,
Inc.
52,000
2.623%, 
7/18/2022
53,435
63,000
3.455%, 
3/2/2023
66,429
36,000
3.407%, 
3/7/2024
38,654
49,000
1.412%, 
7/17/2025
48,966
63,000
3.741%, 
3/7/2029
68,411
Mizuho
Financial
Group,
Inc.
52,000
2.721%, 
7/16/2023
b
53,416
63,000
3.153%, 
7/16/2030
b
65,865
Morgan
Stanley
26,000
4.875%, 
11/1/2022
27,720
82,000
3.125%, 
1/23/2023
85,858
81,000
4.100%, 
5/22/2023
86,616
41,000
0.560%, 
11/10/2023
b
41,013
36,000
2.720%, 
7/22/2025
b
37,977
29,000
5.000%, 
11/24/2025
33,329
89,000
2.188%, 
4/28/2026
b
91,958
61,000
0.985%, 
12/10/2026
b
59,542
126,000
3.622%, 
4/1/2031
b
136,804
MPT
Operating
Partnership,
LP
70,000
5.250%, 
8/1/2026
72,275
60,000
4.625%, 
8/1/2029
63,122
National
Retail
Properties,
Inc.
42,000
2.500%, 
4/15/2030
41,184
Natwest
Group
plc
34,000
6.125%, 
12/15/2022
36,874
30,000
6.100%, 
6/10/2023
33,200
42,000
4.892%, 
5/18/2029
b
47,848
NFP
Corporation
45,000
6.875%, 
8/15/2028
g
46,687
Nippon
Life
Insurance
Company
88,000
5.100%, 
10/16/2044
b,g
97,240
63,000
3.400%, 
1/23/2050
b,g
64,103
Omega
Healthcare
Investors,
Inc.
41,000
5.250%, 
1/15/2026
46,348
43,000
4.750%, 
1/15/2028
47,229
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
322
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Financials
(7.7%)
-
continued
Owl
Rock
Technology
Finance
Corporation
$
63,000
3.750%, 
6/17/2026
g
$
64,427
Park
Aerospace
Holdings,
Ltd.
18,000
4.500%, 
3/15/2023
g
18,799
PayPal
Holdings,
Inc.
64,000
1.650%, 
6/1/2025
65,178
42,000
2.850%, 
10/1/2029
43,757
PennyMac
Financial
Services,
Inc.
95,000
4.250%, 
2/15/2029
g
90,844
Pine
Street
Trust
I
42,000
4.572%, 
2/15/2029
g
47,193
Playtika
Holding
Corporation
40,000
4.250%, 
3/15/2029
g
39,408
PNC
Bank
NA
42,000
2.700%, 
10/22/2029
42,928
Provident
Financing
Trust
I
22,000
7.405%, 
3/15/2038
25,351
Prudential
Financial,
Inc.
95,000
5.625%, 
6/15/2043
b
101,806
129,000
5.200%, 
3/15/2044
b
137,364
22,000
3.700%, 
10/1/2050
b
22,246
Quicken
Loans,
LLC
95,000
3.625%, 
3/1/2029
g
91,438
Regions
Financial
Corporation
42,000
3.800%, 
8/14/2023
45,049
44,000
5.750%, 
6/15/2025
b,i
48,455
Reinsurance
Group
of
America,
Inc.
57,000
4.700%, 
9/15/2023
62,437
Royal
Bank
of
Scotland
Group
plc
44,000
8.625%, 
8/15/2021
b,i
45,045
58,000
4.269%, 
3/22/2025
b
63,270
33,000
3.754%, 
11/1/2029
b
35,073
Santander
Holdings
USA,
Inc.
84,000
3.450%, 
6/2/2025
90,019
Santander
UK
Group
Holdings
plc
63,000
3.823%, 
11/3/2028
b
68,785
Service
Properties
Trust
115,000
4.500%, 
6/15/2023
116,824
50,000
4.750%, 
10/1/2026
48,750
80,000
5.500%, 
12/15/2027
84,619
Simon
Property
Group,
LP
67,000
2.000%, 
9/13/2024
69,343
42,000
2.650%, 
7/15/2030
42,100
Societe
Generale
SA
48,000
2.625%, 
10/16/2024
g
50,082
44,000
8.000%, 
9/29/2025
b,g,i
51,603
49,000
1.488%, 
12/14/2026
b,g
48,148
Springleaf
Finance
Corporation
80,000
6.875%, 
3/15/2025
90,994
110,000
7.125%, 
3/15/2026
126,869
110,000
6.625%, 
1/15/2028
124,664
Standard
Chartered
plc
62,000
1.319%, 
10/14/2023
b,g
62,394
49,000
0.991%, 
1/12/2025
b,g
48,723
State
Street
Corporation
41,000
2.354%, 
11/1/2025
b
43,125
Sumitomo
Mitsui
Financial
Group,
Inc.
37,000
2.784%, 
7/12/2022
38,094
31,000
2.778%, 
10/18/2022
32,064
48,000
2.448%, 
9/27/2024
50,287
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Financials
(7.7%)
-
continued
$
63,000
3.544%, 
1/17/2028
$
68,162
63,000
2.142%, 
9/23/2030
59,059
Sumitomo
Mitsui
Trust
Bank,
Ltd.
41,000
1.050%, 
9/12/2025
g
40,332
Synchrony
Financial
42,000
4.250%, 
8/15/2024
45,688
84,000
3.700%, 
8/4/2026
90,388
Truist
Bank
42,000
2.250%, 
3/11/2030
40,982
Truist
Financial
Corporation
109,000
4.950%, 
9/1/2025
b,i
118,129
UBS
Group
AG
49,000
1.364%, 
1/30/2027
b,g
48,287
USB
Realty
Corporation
84,000
1.388%, 
(LIBOR
3M
+
1.147%),
1/15/2022
b,g,i
65,100
Ventas
Realty,
LP
34,000
3.750%, 
5/1/2024
36,685
VEREIT
Operating
Partnership,
LP
63,000
3.950%, 
8/15/2027
69,132
VICI
Properties,
LP
70,000
4.250%, 
12/1/2026
g
71,616
30,000
3.750%, 
2/15/2027
g
30,000
70,000
4.625%, 
12/1/2029
g
72,615
Wachovia
Capital
Trust
II
50,000
0.741%, 
(LIBOR
3M
+
0.500%),
1/15/2027
b
47,925
Wells
Fargo
&
Company
69,000
4.125%, 
8/15/2023
74,646
61,000
1.654%, 
6/2/2024
b
62,314
80,000
2.406%, 
10/30/2025
b
83,563
65,000
3.900%, 
3/15/2026
b,i
65,644
106,000
2.188%, 
4/30/2026
b
109,400
84,000
4.478%, 
4/4/2031
b
96,732
Welltower,
Inc.
42,000
2.800%, 
6/1/2031
41,745
Westpac
Banking
Corporation
63,000
4.110%, 
7/24/2034
b
67,272
Willis
North
America,
Inc.
84,000
4.500%, 
9/15/2028
95,525
Total
17,978,790
Foreign
Government
(<0.1%)
Sinopec
Group
Overseas
Development
2018,
Ltd.
49,000
2.150%, 
5/13/2025
g
49,750
Total
49,750
Mortgage-Backed
Securities
(14.6%)
Federal
Home
Loan
Mortgage
Corporation
606,524
3.500%, 
8/15/2035,
Ser.
345,
Class
C8
j
69,723
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
1,489,351
3.000%, 
3/25/2050
1,554,401
1,084,251
3.000%, 
4/1/2050
1,132,323
495,967
3.500%, 
7/1/2047
526,518
Federal
National
Mortgage
Association
313,125
4.500%, 
5/1/2048
341,778
555,601
3.500%, 
10/1/2048
586,842
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
323
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Mortgage-Backed
Securities
(14.6%)
-
continued
$
344,855
3.500%, 
6/1/2049
$
365,017
633,971
3.500%, 
8/1/2049
670,912
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
2,600,000
1.500%, 
4/1/2036
e
2,611,738
6,550,000
2.000%, 
4/1/2036
e
6,722,085
3,900,000
2.500%, 
4/1/2036
e
4,057,676
1,850,000
2.000%, 
5/1/2036
e
1,896,272
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,350,000
2.000%, 
4/1/2051
e
2,345,594
5,500,000
2.500%, 
4/1/2051
e
5,643,945
2,000,000
2.000%, 
5/1/2051
e
1,992,578
2,500,000
2.500%, 
5/1/2051
e
2,560,059
812,359
4.000%, 
7/1/2048
871,922
Total
33,949,383
Technology
(1.7%)
Apple,
Inc.
120,000
3.450%, 
5/6/2024
130,390
41,000
0.700%, 
2/8/2026
40,213
125,000
2.200%, 
9/11/2029
126,659
Baidu,
Inc.
52,000
3.075%, 
4/7/2025
54,728
Banff
Merger
Sub,
Inc.
55,000
9.750%, 
9/1/2026
g
58,575
Broadcom
Corporation
84,000
3.125%, 
1/15/2025
89,377
63,000
3.875%, 
1/15/2027
68,412
Broadcom,
Inc.
84,000
5.000%, 
4/15/2030
95,736
CDW,
LLC
100,000
4.250%, 
4/1/2028
103,500
CommScope
Technologies
Finance,
LLC
123,000
6.000%, 
6/15/2025
g
125,466
CommScope,
Inc.
80,000
7.125%, 
7/1/2028
g
84,966
Dell
International,
LLC
63,000
5.850%, 
7/15/2025
g
73,445
63,000
5.300%, 
10/1/2029
g
73,695
Diamond
1
Finance
Corporation
90,000
5.450%, 
6/15/2023
g
98,357
Diamond
Sports
Group,
LLC
205,000
6.625%, 
8/15/2027
g
106,600
Fiserv,
Inc.
68,000
2.750%, 
7/1/2024
71,857
84,000
4.200%, 
10/1/2028
94,654
Gartner,
Inc.
35,000
4.500%, 
7/1/2028
g
36,094
115,000
3.750%, 
10/1/2030
g
114,049
Global
Payments,
Inc.
17,000
2.650%, 
2/15/2025
17,862
42,000
3.200%, 
8/15/2029
44,235
Hewlett
Packard
Enterprise
Company
35,000
2.250%, 
4/1/2023
36,051
34,000
4.450%, 
10/2/2023
36,943
Intuit,
Inc.
41,000
0.950%, 
7/15/2025
40,682
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Technology
(1.7%)
-
continued
Iron
Mountain,
Inc.
$
50,000
5.000%, 
7/15/2028
g
$
51,125
65,000
4.875%, 
9/15/2029
g
65,809
Marvell
Technology
Group,
Ltd.
42,000
4.200%, 
6/22/2023
44,939
Micron
Technology,
Inc.
42,000
4.975%, 
2/6/2026
48,060
NCR
Corporation
220,000
6.125%, 
9/1/2029
g
232,925
NVIDIA
Corporation
21,000
2.850%, 
4/1/2030
22,054
NXP
Funding,
LLC
44,000
4.875%, 
3/1/2024
g
48,904
21,000
2.700%, 
5/1/2025
g
22,024
42,000
4.300%, 
6/18/2029
g
46,974
Open
Text
Corporation
140,000
4.125%, 
2/15/2030
g
141,917
Oracle
Corporation
30,000
2.500%, 
5/15/2022
30,586
105,000
2.500%, 
4/1/2025
110,325
42,000
2.950%, 
4/1/2030
43,308
Panasonic
Corporation
52,000
2.536%, 
7/19/2022
g
53,217
PTC,
Inc.
65,000
3.625%, 
2/15/2025
g
66,706
60,000
4.000%, 
2/15/2028
g
60,900
Qorvo,
Inc.
95,000
3.375%, 
4/1/2031
g
93,090
Rackspace
Technology
Global,
Inc.
115,000
5.375%, 
12/1/2028
g,l
116,935
Seagate
HDD
Cayman
41,000
4.250%, 
3/1/2022
l
42,128
140,000
3.375%, 
7/15/2031
g
134,603
Sensata
Technologies,
Inc.
205,000
3.750%, 
2/15/2031
g
202,118
Shift4
Payments,
LLC
40,000
4.625%, 
11/1/2026
g
41,500
SS&C
Technologies,
Inc.
210,000
5.500%, 
9/30/2027
g
223,660
Switch,
Ltd.
120,000
3.750%, 
9/15/2028
g
118,166
Tencent
Holdings,
Ltd.
49,000
1.810%, 
1/26/2026
g
49,152
Texas
Instruments,
Inc.
71,000
1.375%, 
3/12/2025
72,239
Total
4,005,910
Transportation
(0.7%)
Air
Canada
Pass
Through
Trust
8,786
3.875%, 
3/15/2023
g
8,772
Air
Lease
Corporation
40,000
2.300%, 
2/1/2025
40,856
11,000
3.375%, 
7/1/2025
11,619
42,000
3.125%, 
12/1/2030
41,876
American
Airlines,
Inc.
90,000
11.750%, 
7/15/2025
g
111,329
150,000
5.500%, 
4/20/2026
g
156,104
20,000
5.750%, 
4/20/2029
g
21,273
Avis
Budget
Car
Rental,
LLC
95,000
5.375%, 
3/1/2029
g
98,270
Boeing
Company
41,000
1.950%, 
2/1/2024
42,008
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
324
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Transportation
(0.7%)
-
continued
CSX
Corporation
$
42,000
4.250%, 
3/15/2029
$
47,700
Delta
Air
Lines,
Inc.
110,000
7.000%, 
5/1/2025
g
126,715
95,073
4.500%, 
10/20/2025
g
101,481
Hawaiian
Brand
Intellectual
Property,
Ltd.
120,000
5.750%, 
1/20/2026
g
127,512
J.B.
Hunt
Transport
Services,
Inc.
35,000
3.300%, 
8/15/2022
36,123
Mileage
Plus
Holdings,
LLC
120,000
6.500%, 
6/20/2027
g
131,550
Penske
Truck
Leasing
Company,
LP
36,000
3.375%, 
2/1/2022
g
36,665
41,000
1.200%, 
11/15/2025
g
40,273
Southwest
Airlines
Company
20,000
4.750%, 
5/4/2023
21,594
42,000
5.125%, 
6/15/2027
48,286
Union
Pacific
Corporation
55,000
3.750%, 
7/15/2025
60,414
42,000
2.150%, 
2/5/2027
43,139
United
Airlines
Pass
Through
Trust
35,000
3.700%, 
12/1/2022
35,481
XPO
Logistics,
Inc.
80,000
6.125%, 
9/1/2023
g
81,398
40,000
6.750%, 
8/15/2024
g
41,950
Total
1,512,388
Utilities
(1.3%)
Ameren
Corporation
41,000
1.750%, 
3/15/2028
39,630
Berkshire
Hathaway
Energy
Company
59,000
4.050%, 
4/15/2025
65,100
Calpine
Corporation
200,000
4.500%, 
2/15/2028
g
201,680
CenterPoint
Energy
Houston
Electric,
LLC
42,000
2.350%, 
4/1/2031
42,012
CenterPoint
Energy,
Inc.
40,000
2.500%, 
9/1/2022
41,077
34,000
2.500%, 
9/1/2024
35,649
Dominion
Energy,
Inc.
34,000
3.071%, 
8/15/2024
36,209
64,000
4.650%, 
12/15/2024
b,i
67,379
42,000
3.375%, 
4/1/2030
44,718
DTE
Energy
Company
42,000
3.800%, 
3/15/2027
46,257
Duke
Energy
Corporation
24,000
4.875%, 
9/16/2024
b,i
25,356
84,000
3.150%, 
8/15/2027
89,482
Edison
International
50,000
4.950%, 
4/15/2025
55,811
Entergy
Corporation
41,000
0.900%, 
9/15/2025
40,037
42,000
1.900%, 
6/15/2028
41,020
Evergy,
Inc.
35,000
2.450%, 
9/15/2024
36,645
Exelon
Corporation
42,000
4.050%, 
4/15/2030
46,800
FirstEnergy
Corporation
59,000
2.850%, 
7/15/2022
59,885
Principal
Amount
Long-Term
Fixed
Income
(56.5%)
Value
Utilities
(1.3%)
-
continued
Florida
Power
&
Light
Company
$
44,000
2.850%, 
4/1/2025
$
46,962
Georgia
Power
Company
40,000
2.100%, 
7/30/2023
41,287
NextEra
Energy
Operating
Partners,
LP
160,000
3.875%, 
10/15/2026
g
167,800
NiSource,
Inc.
48,000
5.650%, 
6/15/2023
b,i
49,560
42,000
2.950%, 
9/1/2029
43,232
NRG
Energy,
Inc.
41,000
2.000%, 
12/2/2025
g
40,993
175,000
3.375%, 
2/15/2029
g
170,844
Pacific
Gas
and
Electric
Company
63,000
3.750%, 
2/15/2024
66,998
63,000
2.100%, 
8/1/2027
61,682
PG&E
Corporation
80,000
5.000%, 
7/1/2028
84,518
65,000
5.250%, 
7/1/2030
68,900
PPL
Capital
Funding,
Inc.
43,000
3.950%, 
3/15/2024
46,429
42,000
4.125%, 
4/15/2030
47,205
Public
Service
Enterprise
Group,
Inc.
42,000
1.600%, 
8/15/2030
38,680
Sempra
Energy
44,000
4.875%, 
10/15/2025
b,i
47,080
63,000
3.400%, 
2/1/2028
67,564
Southern
Company
85,000
4.000%, 
1/15/2051
b
89,696
Suburban
Propane
Partners,
LP
155,000
5.875%, 
3/1/2027
161,200
Talen
Energy
Supply,
LLC
125,000
7.625%, 
6/1/2028
g
126,563
TerraForm
Power
Operating,
LLC
155,000
5.000%, 
1/31/2028
g
167,253
TransCanada
Trust
90,000
5.875%, 
8/15/2076
b
98,100
Vistra
Operations
Company,
LLC
160,000
5.000%, 
7/31/2027
g
164,803
Xcel
Energy,
Inc.
42,000
4.000%, 
6/15/2028
46,639
Total
2,958,735
Total
Long-Term
Fixed
Income
(cost
$130,371,320)
131,750,834
Shares
Registered
Investment
Companies
(
16.6%
)
Value
Unaffiliated  (1.9%)
8,484
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
34,700
2,175
AllianceBernstein
Global
High
Income
Fund,
Inc.
25,774
4,688
BlackRock
Core
Bond
Trust
73,602
3,380
BlackRock
Corporate
High
Yield
Fund,
Inc.
39,681
3,761
BlackRock
Credit
Allocation
Income
Trust
55,211
3,400
BlackRock
Enhanced
Equity
Dividend
Trust
32,164
2,638
BlackRock
Enhanced
Global
Dividend
Trust
30,311
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
325
Shares
Registered
Investment
Companies
(16.6%)
Value
Unaffiliated  (1.9%)-
continued
2,968
BlackRock
Multi-Sector
Income
Trust
$
53,483
1,900
Brookfield
Real
Assets
Income
Fund,
Inc.
39,330
871
Cohen
&
Steers
Quality
Income
Realty
Fund,
Inc.
12,124
1,414
Eaton
Vance
Limited
Duration
Income
Fund
17,859
2,342
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
21,780
3,779
Invesco
Dynamic
Credit
Opportunities
Fund
42,967
3,561
Invesco
Senior
Loan
ETF
78,805
20,525
iShares
S&P
U.S.
Preferred
Stock
Index
Fund
l
788,160
2,325
Liberty
All-Star
Equity
Fund
17,740
3,825
Nuveen
Credit
Strategies
Income
Fund
24,863
2,670
PGIM
Global
High
Yield
Fund,
Inc.
39,836
2,642
PGIM
High
Yield
Bond
Fund,
Inc.
41,374
1,772
Pimco
Dynamic
Credit
And
Mortgage
Income
Fund
39,462
3,248
Royce
Micro-Cap
Trust,
Inc.
36,702
3,298
Royce
Value
Trust,
Inc.
59,727
4,350
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
l
473,280
30,916
SPDR
Bloomberg
Barclays
Short
Term
High
Yield
Bond
ETF
844,934
658
Tri-Continental
Corporation
21,339
13,500
Vanguard
Intermediate-Term
Corporate
Bond
ETF
1,255,905
6,556
Virtus
Dividend,
Interst
&
Premium
Strategy
Fund
90,342
6,843
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
39,005
4,588
Wells
Fargo
Income
Opportunities
Fund
38,723
9,544
Western
Asset
High
Income
Opportunity
Fund,
Inc.
48,484
Total
4,417,667
Affiliated  (14.7%)
3,545,348
Thrivent
Core
Emerging
Markets
Debt
Fund
34,283,510
Total
34,283,510
Total
Registered
Investment
Companies
(cost
$38,614,639)
38,701,177
Shares
Preferred
Stock
(
0.8%
)
Value
Communications
Services
(0.1%)
4,325
AT&T,
Inc.,
4.750%
i
109,293
1,250
AT&T,
Inc.,
5.000%
i
32,962
Total
142,255
Consumer
Staples
(<0.1%)
850
CHS,
Inc.,
7.100%
b,i
23,469
Total
23,469
Energy
(0.1%)
6,153
Crestwood
Equity
Partners,
LP,
9.250%
i
53,162
825
Energy
Transfer
Operating,
LP,
7.600%
b,i
19,726
Shares
Preferred
Stock
(0.8%)
Value
Energy
(0.1%)
-
continued
1,736
Nustar
Logistics,
LP,
6.975%
b
$
42,792
Total
115,680
Financials
(0.6%)
1,250
Aegon
Funding
Corporation
II,
5.100%
32,437
1,870
Agribank
FCB,
6.875%
b,i
201,960
3,700
Allstate
Corporation,
5.100%
i
99,937
2,200
Bank
of
America
Corporation,
5.000%
i
58,234
1,000
Bank
of
America
Corporation,
5.375%
i
27,080
2,500
Capital
One
Financial
Corporation,
5.000%
i
64,375
1,445
Cobank
ACB,
6.250%
b,i
152,086
2,775
Equitable
Holdings,
Inc.,
5.250%
i
72,927
70
First
Horizon
Bank,
3.750%
b,g,i
58,100
1,846
GMAC
Capital
Trust
I,
5.983%
b
47,036
1,750
J.P.
Morgan
Chase
&
Company,
4.750%
i
46,235
1,750
J.P.
Morgan
Chase
&
Company,
5.750%
i
47,443
1,750
Legg
Mason,
Inc.,
5.450%
44,625
3,080
Morgan
Stanley,
5.850%
b,i
87,718
3,700
Morgan
Stanley,
7.125%
b,i,l
106,782
425
Synovus
Financial
Corporation,
5.875%
b,i
11,424
2,650
Truist
Financial
Corporation,
4.750%
i
68,238
148
Wells
Fargo
&
Company,
Convertible,
7.500%
i
209,777
Total
1,436,414
Real
Estate
(<0.1%)
3,200
Public
Storage,
4.125%
i
82,592
668
Public
Storage,
4.625%
i
17,942
175
Public
Storage,
4.700%
i
4,692
275
Public
Storage,
4.875%
i
7,365
Total
112,591
Utilities
(<0.1%)
3,525
Southern
Company,
4.950%
92,778
Total
92,778
Total
Preferred
Stock
(cost
$1,851,774)
1,923,187
Shares
Collateral
Held
for
Securities
Loaned
(
0.8%
)
Value
1,905,647
Thrivent
Cash
Management
Trust
1,905,647
Total
Collateral
Held
for
Securities
Loaned
(cost
$1,905,647)
1,905,647
Shares
Common
Stock
(
0.1%
)
Value
Communications
Services
(<0.1%)
306
Windstream
Services,
LLC,
Warrants
(Expires
12/31/2049)
m
3,927
Total
3,927
Energy
(0.1%)
600
Enbridge,
Inc.
21,840
1,300
Kinder
Morgan,
Inc.
21,645
54,556
McDermott
International,
Inc.
m
43,645
1,000
MPLX,
LP
25,630
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
326
Shares
Common
Stock
(0.1%)
Value
Energy
(0.1%)
-
continued
570
TC
Energy
Corporation
$
26,077
800
Williams
Companies,
Inc.
18,952
Total
157,789
Financials
(<0.1%)
2,000
BlackRock
TCP
Capital
Corporation
27,660
800
FS
KKR
Capital
Corporation
15,864
1,800
FS
KKR
Capital
Corporation
II
35,154
2,307
Golub
Capital
BDC,
Inc.
33,728
948
Sixth
Street
Specialty
Lending,
Inc.
19,937
Total
132,343
Total
Common
Stock
(cost
$502,219)
294,059
Shares
or
Principal
Amount
Short-Term
Investments
(
15.2%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
300,000
0.020%,
6/16/2021
n,o
299,987
Thrivent
Core
Short-Term
Reserve
Fund
3,504,745
0.180%
35,047,449
Total
Short-Term
Investments
(cost
$35,343,172)
35,347,436
Total
Investments
(cost
$258,686,066)
111.5%
$259,950,441
Other
Assets
and
Liabilities,
Net
(11.5%)
(26,734,671)
Total
Net
Assets
100.0%
$233,215,770
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
March
31,
2021.
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
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
March
31,
2021.
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
March
31,
2021,
the
value
of
these
investments
was
$47,609,845
or
20.4%
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
March
31,
2021.
i
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
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
March
31,
2021:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
570,959
Common
Stock
1,292,050
Total
lending
$1,863,009
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$1,905,647
Net
amounts
due
to
counterparty
$42,638
Definitions:
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
PIK
-
Payment-In-Kind
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
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
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
327
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
3,795,481
3,795,481
Capital
Goods
5,629,223
5,266,326
362,897
Communications
Services
11,418,156
11,418,156
Consumer
Cyclical
8,635,091
8,635,091
Consumer
Non-Cyclical
7,890,649
7,799,749
90,900
Energy
71,642
71,642
Financials
3,424,248
2,912,649
511,599
Technology
4,120,842
4,120,842
Transportation
2,743,023
2,743,023
Utilities
2,299,746
2,299,746
Long-Term
Fixed
Income
Asset-Backed
Securities
9,143,250
9,143,250
Basic
Materials
3,473,010
3,473,010
Capital
Goods
5,223,966
5,223,966
Collateralized
Mortgage
Obligations
15,878,109
15,628,109
250,000
Commercial
Mortgage-Backed
Securities
328,250
328,250
Communications
Services
8,514,818
8,463,285
51,533
Consumer
Cyclical
9,983,393
9,983,393
Consumer
Non-Cyclical
10,338,527
10,338,527
Energy
8,412,555
8,412,555
Financials
17,978,790
17,978,790
Foreign
Government
49,750
49,750
Mortgage-Backed
Securities
33,949,383
33,949,383
Technology
4,005,910
4,005,910
Transportation
1,512,388
1,512,388
Utilities
2,958,735
2,958,735
Registered
Investment
Companies
Unaffiliated
4,417,667
4,417,667
Preferred
Stock
Communications
Services
142,255
142,255
Consumer
Staples
23,469
23,469
Energy
115,680
115,680
Financials
1,436,414
1,378,314
58,100
Real
Estate
112,591
112,591
Utilities
92,778
92,778
Common
Stock
Communications
Services
3,927
3,927
Energy
157,789
157,789
Financials
132,343
132,343
Short-Term
Investments
299,987
299,987
Subtotal
Investments
in
Securities
$188,713,835
$6,572,886
$180,874,020
$1,266,929
Other
Investments  *
Total
Affiliated
Registered
Investment
Companies
34,283,510
Affiliated
Short-Term
Investments
35,047,449
Collateral
Held
for
Securities
Loaned
1,905,647
Subtotal
Other
Investments
$71,236,606
Total
Investments
at
Value
$259,950,441
*
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
223,687
223,687
Total
Asset
Derivatives
$223,687
$223,687
$–
$–
Liability
Derivatives
Futures
Contracts
104,464
104,464
Total
Liability
Derivatives
$104,464
$104,464
$–
$–
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
328
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
The
following
table
presents
Opportunity
Income
Plus
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$299,987
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
42
June
2021
$
9,279,832
(
$
9,317)
CBOT
5-Yr.
U.S.
Treasury
Note
33
June
2021
4,124,313
(
52,164)
CBOT
U.S.
Long
Bond
6
June
2021
931,138
(
3,576)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
11
June
2021
2,032,813
(
39,407)
Total
Futures
Long
Contracts
$
16,368,096
(
$
104,464)
CBOT
10-Yr.
U.S.
Treasury
Note
(50)
June
2021
(
$
6,711,558)
$
164,683
Ultra
10-Yr.
U.S.
Treasury
Note
(11)
June
2021
(
1,639,566)
59,004
Total
Futures
Short
Contracts
(
$
8,351,124)
$223,687
Total
Futures
Contracts
$
8,016,972
$119,223
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$37,714
$379
$1,300
$34,284
3,545
14.7%
Total
Affiliated
Registered
Investment
Companies
37,714
34,284
14.7
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
37,613
55,356
57,922
35,047
3,505
15.0
Total
Affiliated
Short-Term
Investments
37,613
35,047
15.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
452
18,677
17,223
1,906
1,906
0.8
Total
Collateral
Held
for
Securities
Loaned
452
1,906
0.8
Total
Value
$75,779
$71,237
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$(23)
$(2,486)
$379
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
(3)
3
16
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$395
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
3
Total
Affiliated
Income
from
Securities
Loaned,
Net
$3
Total
Value
$(26)
$(2,483)
$–
Partner
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
329
Shares
Common
Stock
(
89.6%
)
Value
Bermuda
(1.1%)
218,000
China
Resources
Gas
Group,
Ltd.
$
1,209,988
Total
1,209,988
Brazil
(4.7%)
364,434
Banco
Bradesco
SA
ADR
1,712,840
155,502
Vale
SA
ADR
2,702,625
54,562
WEG
SA
725,955
Total
5,141,420
Cayman
Islands
(19.2%)
191,800
Alibaba
Group
Holding,
Ltd.
a
5,449,541
313,200
Budweiser
Brewing
Company
APAC,
Ltd.
b
937,523
135,500
China
Conch
Venture
Holdings,
Ltd.
638,400
382,000
China
Resources
Land,
Ltd.
1,861,801
136,500
Li
Ning
Company,
Ltd.
892,981
54,800
Meituan
Dianping
a,b
2,138,526
59,550
New
Oriental
Education
&
Technology
Group,
Inc.
ADR
a
833,700
315,200
Sands
China,
Ltd.
a
1,579,821
61,100
Tencent
Holdings,
Ltd.
4,876,242
143,500
Wuxi
Biologics
(Cayman),
Inc.
a,b
1,809,643
Total
21,018,178
China
(15.6%)
8,567
Autohome
,
Inc.
ADR
799,044
32,800
China
International
Travel
Service
Corporation,
Ltd.
1,538,910
237,500
China
Merchants
Bank
Company,
Ltd.
1,819,533
19,800
Hangzhou
Tigermed
Consulting
Company,
Ltd.,
Class
A
456,184
9,900
Hangzhou
Tigermed
Consulting
Company,
Ltd.,
Class
H
b
197,154
3,895
Kweichow
Moutai
Company,
Ltd.
1,197,908
174,700
LONGi
Green
Energy
Technology
Company,
Ltd.
2,365,333
104,925
Midea
Group
Company,
Ltd.
1,322,082
303,200
NARI
Technology
Company,
Ltd.
1,446,775
168,000
Ping
An
Insurance
Company
of
China,
Ltd.
2,009,508
112,182
Shanghai
International
Airport
Company,
Ltd.
994,220
71,600
Shenzhou
International
Group
Holdings,
Ltd.
1,497,625
41,720
Sungrow
Power
Supply
Company,
Ltd.
461,266
267,400
Xinjiang
Goldwind
Science
&
Technology
Company,
Ltd.
507,347
26,599
Yunnan
Energy
New
Material
Company,
Ltd.
456,657
Total
17,069,546
Hong
Kong
(3.0%)
142,000
AIA
Group,
Ltd.
1,737,622
25,530
Hong
Kong
Exchanges
&
Clearing,
Ltd.
1,514,590
Total
3,252,212
India
(11.3%)
30,407
Hindustan
Unilever,
Ltd.
1,014,153
90,052
Housing
Development
Finance
Corporation
3,094,128
394,672
ITC,
Ltd.
1,181,005
66,878
Kotak
Mahindra
Bank,
Ltd.
a
1,610,755
Shares
Common
Stock
(89.6%)
Value
India
(11.3%)
-
continued
115,171
SBI
Life
Insurance
Company,
Ltd.
a,b
$
1,391,541
54,720
Tata
Consultancy
Services,
Ltd.
2,384,253
18,347
Ultra
Tech
Cement,
Ltd.
1,695,640
Total
12,371,475
Indonesia
(2.0%)
566,100
Bank
Central
Asia
Tbk
PT
1,212,359
3,314,800
Bank
Rakyat
Indonesia
Persero
Tbk
PT
a
1,005,658
Total
2,218,017
Luxembourg
(0.5%)
38,736
Allegro.eu
SA
a,b
545,271
Total
545,271
Mexico
(4.1%)
15,880
Fomento
Economico
Mexicano
SAB
de
CV
ADR
1,196,240
36,580
Grupo
Aeroportuario
del
Sureste
,
SAB
de
CV
a
649,651
281,773
Grupo
Financiero
Banorte
SAB
de
CV
ADR
a
1,588,803
195,264
Grupo
Mexico,
SAB
de
CV
1,029,269
Total
4,463,963
Netherlands
(2.8%)
2,675
ASML
Holding
NV
1,641,304
7,893
Prosus
NV
878,326
8,520
Yandex
NV
a
545,791
Total
3,065,421
Philippines
(1.3%)
1,297,100
Ayala
Land,
Inc.
919,717
260,636
Bank
of
the
Philippine
Islands
438,426
Total
1,358,143
Russian
Federation
(4.1%)
16,519
Lukoil
ADR
1,334,894
93,216
NovaTek
PJSC
1,841,400
335,998
Sberbank
of
Russia
PJSC
1,289,195
Total
4,465,489
South
Africa
(4.3%)
7,720
Anglo
American
Platinum,
Ltd.
1,125,930
14,995
Naspers,
Ltd.
3,591,459
Total
4,717,389
South
Korea
(3.5%)
3,144
LG
Chem
,
Ltd.
2,249,918
2,630
Samsung
SDI
Company,
Ltd.
1,546,499
Total
3,796,417
Taiwan
(10.0%)
169,000
Hon
Hai
Precision
Industry
Company,
Ltd.
741,355
484,499
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
10,203,167
Total
10,944,522
United
Kingdom
(1.1%)
48,300
Mondi
plc
1,241,450
Total
1,241,450
Partner
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
330
Shares
Common
Stock
(89.6%)
Value
United
States
(1.0%)
770
Mercadolibre
,
Inc.
a
$
1,133,548
Total
1,133,548
Total
Common
Stock
(cost
$61,805,407)
98,012,449
Shares
Preferred
Stock
(
8.9%
)
South
Korea
(8.9%)
150,645
Samsung
Electronics
Company,
Ltd.
9,757,008
Total
9,757,008
Total
Preferred
Stock
(cost
$2,720,188)
9,757,008
Shares
Short-Term
Investments
(
1.6%
)
Thrivent
Core
Short-Term
Reserve
Fund
176,147
0.180%
1,761,470
Total
Short-Term
Investments
(cost
$1,761,470)
1,761,470
Total
Investments
(cost
$66,287,065)
100.1%
$109,530,927
Other
Assets
and
Liabilities,
Net
(0.1%)
(161,437)
Total
Net
Assets
100.0%
$109,369,490
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
March
31,
2021,
the
value
of
these
investments
was
$7,019,658
or
6.4%
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
March
31,
2021,
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
9,812,536
1,344,835
8,467,701
Consumer
Discretionary
16,932,005
1,967,248
14,964,757
Consumer
Staples
5,526,829
1,196,240
4,330,589
Energy
4,386,282
4,386,282
Financials
21,941,684
1,712,840
20,228,844
Health
Care
2,462,981
2,462,981
Industrials
5,200,240
5,200,240
Information
Technology
16,516,578
16,516,578
Materials
10,501,489
2,702,625
7,798,864
Real
Estate
919,717
919,717
Utilities
3,812,108
3,812,108
Preferred
Stock
Information
Technology
9,757,008
9,757,008
Subtotal
Investments
in
Securities
$107,769,457
$8,923,788
$98,845,669
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
1,761,470
Subtotal
Other
Investments
$1,761,470
Total
Investments
at
Value
$109,530,927
*
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.  
Partner
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
331
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
Partner
Emerging
Markets
Equity
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$1,093
$10,408
$9,740
$1,761
176
1.6%
Total
Affiliated
Short-Term
Investments
1,093
1,761
1.6
Total
Value
$1,093
$1,761
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$1
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1
Total
Value
$–
$–
$–
Partner
Healthcare
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
332
Shares
Common
Stock
(
97.1%
)
Value
Biotechnology
(18.8%)
20,110
Acceleron
Pharma,
Inc.
a
$
2,727,117
11,296
Agios
Pharmaceuticals,
Inc.
a
583,325
11,469
Allakos
,
Inc.
a
1,316,412
3,911
Allogene
Therapeutics,
Inc.
a
138,058
17,471
Alnylam
Pharmaceuticals,
Inc.
a
2,466,730
32,554
Amgen,
Inc.
8,099,761
22,375
Arcutis
Biotherapeutics
,
Inc.
a
647,309
7,817
Arena
Pharmaceuticals,
Inc.
a
542,422
2,470
Argenx
SE
ADR
a
680,213
3,724
Atreca
,
Inc.
a
57,089
5,747
Biogen,
Inc.
a
1,607,723
3,310
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
226,239
7,607
BioMarin
Pharmaceutical,
Inc.
a
574,405
5,278
Blueprint
Medicines
Corporation
a
513,180
8,561
BridgeBio
Pharma,
Inc.
a
527,358
6,700
Cerevel
Therapeutics
Holdings
a
91,991
2,233
Cerevel
Therapeutics
Holdings,
Warrants
(Expires
6/9/2027)
a
9,423
4,907
ChemoCentryx
,
Inc.
a
251,435
6,232
Connect
Biopharma
Holdings,
Ltd.
ADR
a
115,292
8,595
Cytokinetics,
Inc.
a
199,920
13,043
Decibel
Therapeutics,
Inc.
a
148,168
7,165
Design
Therapeutics,
Inc.
a
214,233
7,651
Dicerna
Pharmaceuticals,
Inc.
a
195,636
2,820
Enanta
Pharmaceuticals,
Inc.
a
139,082
7,305
EXACT
Sciences
Corporation
a
962,653
7,730
Genmab
AS
a
2,542,348
26,384
Genmab
AS
ADR
a
866,187
107,510
Gilead
Sciences,
Inc.
6,948,371
8,870
Global
Blood
Therapeutics,
Inc.
a
361,452
3,840
Guardant
Health,
Inc.
a
586,176
10,858
Halozyme
Therapeutics,
Inc.
a
452,670
5,022
Immunocore
Holdings
plc
ADR
a
213,787
12,716
Incyte
Corporation
a
1,033,429
3,280
Intellia
Therapeutics,
Inc.
a
263,236
16,200
Iovance
Biotherapeutics
,
Inc.
a
512,892
4,670
Kodiak
Sciences,
Inc.
a
529,531
1,933
Krystal
Biotech,
Inc.
a
148,918
30,019
Mersana
Therapeutics,
Inc.
a
485,707
7,479
Mirati
Therapeutics,
Inc.
a
1,281,153
11,395
Molecular
Templates,
Inc.
a
143,805
9,705
Neurocrine
Biosciences,
Inc.
a
943,811
2,146
Nuvation
Bio,
Inc.
Warrants
(Expires
07/07/2027)
a
5,730
49,226
PPD,
Inc.
a
1,862,712
11,100
Prothena
Corporation
plc
a
278,832
2,440
PTC
Therapeutics,
Inc.
a
115,534
4,421
RAPT
Therapeutics,
Inc.
a
98,146
5,995
Regeneron
Pharmaceuticals,
Inc.
a
2,836,474
5,806
Relay
Therapeutics,
Inc.
a
200,713
3,695
Sage
Therapeutics,
Inc.
a
276,571
4,632
Sarepta
Therapeutics,
Inc.
a
345,223
34,429
Seagen
,
Inc.
a
4,780,811
6,140
Seres
Therapeutics,
Inc.
a
126,423
2,277
Stoke
Therapeutics,
Inc.
a
88,439
7,235
Taysha
Gene
Therapies,
Inc.
a
146,871
5,383
TCR2
Therapeutics,
Inc.
a
118,857
11,159
Vertex
Pharmaceuticals,
Inc.
a
2,397,958
Total
54,027,941
Financials
(0.5%)
8,560
ARYA
Sciences
Acquisition
Corporation
III
a
117,957
Shares
Common
Stock
(97.1%)
Value
Financials
(0.5%)
-
continued
5,120
BCTG
Acquisition
Corporation
a
$
56,934
11,207
Deerfield
Healthcare
Technology
Acquisitions
Corporation
a
135,829
2,241
Deerfield
Healthcare
Technology
Acquisitions,
Warrants
(Expires
7/16/2025)
a
6,499
19,371
GoHealth
,
Inc.
a
226,447
47,585
Health
Assurance
Acquisition
Corporation
a
486,319
11,896
Health
Assurance
Acquisition
Corporation,
Warrants
(Expires
11/12/2025)
a
30,810
7,296
Health
Sciences
Acquisitions
Corporation
2
a
81,934
6,199
Helix
Acquisition
Corporation
a
63,292
22,420
MedTech
Acquisition
Corporation
a
216,353
7,473
MedTech
Acquisition
Corporation,
Warrants
(Expires
12/18/2025)
a
8,220
14,300
Therapeutics
Acquisition
Corporation
a
150,293
Total
1,580,887
Health
Care
Distributors
(1.7%)
7,353
AmerisourceBergen
Corporation
868,169
33,680
Cardinal
Health,
Inc.
2,046,060
17,740
Henry
Schein,
Inc.
a
1,228,317
3,196
McKesson
Corporation
623,348
Total
4,765,894
Health
Care
Equipment
(29.0%)
125,486
Abbott
Laboratories
15,038,242
5,667
ABIOMED,
Inc.
a
1,806,243
59,653
Avantor
,
Inc.
a
1,725,761
37,190
Baxter
International,
Inc.
3,136,605
16,558
Becton,
Dickinson
and
Company
4,026,078
193,878
Boston
Scientific
Corporation
a
7,493,385
19,084
Butterfly
Network,
Inc.
a
321,184
6,361
Butterfly
Network,
Inc.,
Warrants
(Expires
06/29/2025)
a
41,028
4,825
Dexcom
,
Inc.
a
1,734,057
74,692
Edwards
Lifesciences
Corporation
a
6,247,239
19,666
Envista
Holdings
Corporation
a
802,373
8,682
Intuitive
Surgical,
Inc.
a
6,415,477
11,507
Masimo
Corporation
a
2,642,698
78,441
Medtronic
plc
9,266,235
7,620
Nevro
Corporation
a
1,062,990
3,065
Novocure
,
Ltd.
a
405,132
15,382
ResMed
,
Inc.
2,984,416
4,716
Silk
Road
Medical,
Inc.
a
238,865
1,435
Straumann
Holding
AG
1,791,624
28,685
Stryker
Corporation
6,987,092
10,242
Teleflex,
Inc.
4,255,141
31,465
Zimmer
Biomet
Holdings,
Inc.
5,036,917
Total
83,458,782
Health
Care
Facilities
(0.7%)
20,769
Encompass
Health
Corporation
1,700,981
6,930
Innovage
Holding
Corporation
a
178,725
Total
1,879,706
Health
Care
Services
(5.4%)
10,198
Amedisys
,
Inc.
a
2,700,329
32,803
Cigna
Holding
Company
7,929,797
10,573
LHC
Group,
Inc.
a
2,021,663
6,684
Quest
Diagnostics,
Inc.
857,825
Partner
Healthcare
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
333
a
Shares
Common
Stock
(97.1%)
Value
Health
Care
Services
(5.4%)
-
continued
11,528
Teladoc
Health,
Inc.
a
$
2,095,214
Total
15,604,828
Health
Care
Supplies
(2.0%)
53,161
Alcon,
Inc.
a
3,730,839
29,950
Dentsply
Sirona,
Inc.
1,911,110
Total
5,641,949
Information
Technology
(0.2%)
25,722
Alignment
Healthcare,
Inc.
a
564,083
Total
564,083
Life
Sciences
Tools
&
Services
(6.3%)
7,216
Agilent
Technologies,
Inc.
917,442
7,622
Illumina,
Inc.
a
2,927,305
19,788
IQVIA
Holding,
Inc.
a
3,821,854
18,504
Thermo
Fisher
Scientific,
Inc.
8,444,856
108,572
WuXi
AppTec
Company,
Ltd.
b
2,144,005
Total
18,255,462
Managed
Health
Care
(12.7%)
18,293
Anthem,
Inc.
6,566,272
51,927
Centene
Corporation
a
3,318,655
18,826
Humana,
Inc.
7,892,801
50,392
UnitedHealth
Group,
Inc.
18,749,351
Total
36,527,079
Pharmaceuticals
(19.8%)
7,981
Apellis
Pharmaceuticals,
Inc.
a
342,465
86,569
Bristol-Myers
Squibb
Company
5,465,101
19,100
Daiichi
Sankyo
Company,
Ltd.
557,257
12,700
Eisai
Company,
Ltd.
853,618
33,750
Elanco
Animal
Health,
Inc.
a
993,937
47,255
Eli
Lilly
and
Company
8,828,179
6,233
Forma
Therapeutics
Holdings,
Inc.
a
174,649
472,505
Hansoh
Pharmaceutical
Group
Company,
Ltd.
a,b
2,266,607
10,065
Horizon
Therapeutics
plc
a
926,383
182,000
Hua
Medicine
a,b
104,179
79,169
Johnson
&
Johnson
13,011,425
37,942
Merck
&
Company,
Inc.
2,924,949
8,906
Merck
KGaA
1,523,413
12,798
Nektar
Therapeutics
a
255,960
159,225
Pfizer,
Inc.
5,768,722
4,155
Roche
Holding
AG
1,345,985
36,364
Sanofi
3,595,836
28,875
Sanofi
ADR
1,428,158
153,500
Wuxi
Biologics
(Cayman),
Inc.
a,b
1,935,751
28,821
Zoetis,
Inc.
4,538,731
Total
56,841,305
Total
Common
Stock
(cost
$190,673,443)
279,147,916
Shares
Short-Term
Investments
(
2.7%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
785,648
0.180%
$
7,856,479
Total
Short-Term
Investments
(cost
$7,853,974)
7,856,479
Total
Investments
(cost
$198,527,417)
99.8%
$287,004,395
Other
Assets
and
Liabilities,
Net
0.2%
642,521
Total
Net
Assets
100.0%
$287,646,916
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
March
31,
2021,
the
value
of
these
investments
was
$6,450,542
or
2.2%
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.
Partner
Healthcare
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
334
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
Partner
Healthcare
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Biotechnology
54,027,941
51,485,593
2,542,348
Financials
1,580,887
1,580,887
Health
Care
Distributors
4,765,894
4,765,894
Health
Care
Equipment
83,458,782
81,667,158
1,791,624
Health
Care
Facilities
1,879,706
1,879,706
Health
Care
Services
15,604,828
15,604,828
Health
Care
Supplies
5,641,949
5,641,949
Information
Technology
564,083
564,083
Life
Sciences
Tools
&
Services
18,255,462
16,111,457
2,144,005
Managed
Health
Care
36,527,079
36,527,079
Pharmaceuticals
56,841,305
44,658,659
12,182,646
Subtotal
Investments
in
Securities
$279,147,916
$260,487,293
$18,660,623
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
7,856,479
Subtotal
Other
Investments
$7,856,479
Total
Investments
at
Value
$287,004,395
*
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.  
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
Partner
Healthcare
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$6,423
$13,381
$11,948
$7,856
786
2.7%
Total
Affiliated
Short-Term
Investments
6,423
7,856
2.7
Total
Value
$6,423
$7,856
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$2
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$2
Total
Value
$–
$–
$–
Real
Estate
Securities
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
335
Shares
Common
Stock
(
99.1%
)
Value
Diversified
REITs
(6.2%)
9,554
American
Assets
Trust,
Inc.
$
309,932
28,612
Apartment
Income
REIT
Corporation
1,223,449
42,667
Cousins
Properties,
Inc.
1,508,278
90,470
Duke
Realty
Corporation
3,793,407
23,174
Spirit
Realty
Capital,
Inc.
984,895
44,006
Store
Capital
Corporation
1,474,201
33,584
VEREIT,
Inc.
1,297,014
8,384
WP
Carey,
Inc.
593,252
Total
11,184,428
Health
Care
REITs
(9.4%)
29,462
Healthcare
Realty
Trust,
Inc.
893,288
56,225
Healthcare
Trust
of
America,
Inc.
1,550,685
122,500
Healthpeak
Properties,
Inc.
3,888,150
55,806
Medical
Properties
Trust,
Inc.
1,187,552
19,214
Omega
Healthcare
Investors,
Inc.
703,809
22,476
Physicians
Realty
Trust
397,151
54,598
Ventas,
Inc.
2,912,257
73,970
Welltower
,
Inc.
5,298,471
Total
16,831,363
Hotel
&
Resort
REITs
(4.1%)
42,536
Apple
Hospitality
REIT,
Inc.
619,750
10,400
Caesars
Entertainment,
Inc.
a
909,480
118,551
Host
Hotels
&
Resorts,
Inc.
a
1,997,584
52,858
MGM
Growth
Properties
LLC
1,724,228
26,435
Park
Hotels
&
Resorts,
Inc.
a
570,467
39,654
RLJ
Lodging
Trust
613,844
4,802
Ryman
Hospitality
Properties
a
372,203
48,357
Sunstone
Hotel
Investors,
Inc.
a
602,528
Total
7,410,084
Industrial
REITs
(13.4%)
48,892
Americold
Realty
Trust
1,880,875
4,751
EastGroup
Properties,
Inc.
680,723
35,396
First
Industrial
Realty
Trust,
Inc.
1,620,783
123,781
Prologis,
Inc.
13,120,786
54,114
Rexford
Industrial
Realty,
Inc.
2,727,346
8,988
SBA
Communications
Corporation
2,494,619
25,933
STAG
Industrial,
Inc.
871,608
10,945
Terreno
Realty
Corporation
632,293
Total
24,029,033
Office
REITs
(8.3%)
31,627
Alexandria
Real
Estate
Equities,
Inc.
5,196,316
22,383
Boston
Properties,
Inc.
2,266,503
16,946
Corporate
Office
Properties
Trust
446,188
33,690
Douglas
Emmett,
Inc.
1,057,866
25,312
Highwoods
Properties,
Inc.
1,086,897
44,572
Hudson
Pacific
Properties,
Inc.
1,209,238
19,026
JBG
SMITH
Properties
604,837
22,991
Kilroy
Realty
Corporation
1,508,899
12,523
SL
Green
Realty
Corporation
876,485
14,954
Vornado
Realty
Trust
678,762
Total
14,931,991
Real
Estate
Operating
Companies
(0.3%)
21,837
Essential
Properties
Realty
Trust,
Inc.
498,539
Total
498,539
Shares
Common
Stock
(99.1%)
Value
Real
Estate
Services
(0.2%)
4,500
CBRE
Group,
Inc.
a
$
355,995
Total
355,995
Residential
REITs
(20.4%)
21,262
American
Campus
Communities,
Inc.
917,880
102,535
American
Homes
4
Rent
3,418,517
21,379
AvalonBay
Communities,
Inc.
3,944,639
24,231
Camden
Property
Trust
2,663,229
57,803
Equity
Lifestyle
Properties,
Inc.
3,678,583
41,666
Equity
Residential
2,984,536
11,285
Essex
Property
Trust,
Inc.
3,067,714
174,246
Invitation
Homes,
Inc.
5,574,130
20,305
Mid-America
Apartment
Communities,
Inc.
2,931,230
29,401
Sun
Communities,
Inc.
4,411,326
68,124
UDR,
Inc.
2,987,919
Total
36,579,703
Retail
REITs
(8.9%)
16,497
Agree
Realty
Corporation
1,110,413
63,326
Brixmor
Property
Group,
Inc.
1,281,085
5,556
Federal
Realty
Investment
Trust
563,656
48,387
Kimco
Realty
Corporation
907,256
20,971
National
Retail
Properties,
Inc.
924,192
16,513
NetSTREIT
Corporation
305,325
28,024
Realty
Income
Corporation
1,779,524
38,507
Regency
Centers
Corporation
2,183,732
45,649
Simon
Property
Group,
Inc.
5,193,487
29,490
SITE
Centers
Corporation
399,885
25,301
Urban
Edge
Properties
417,973
36,442
Weingarten
Realty
Investors
980,654
Total
16,047,182
Specialized
REITs
(27.9%)
33,736
American
Tower
Corporation
8,064,928
7,880
CoreSite
Realty
Corporation
944,418
25,743
Crown
Castle
International
Corporation
4,431,143
49,186
CubeSmart
1,860,706
28,145
CyrusOne
,
Inc.
1,905,979
29,018
Digital
Realty
Trust,
Inc.
4,086,895
15,024
Equinix
,
Inc.
10,210,160
30,682
Extra
Space
Storage,
Inc.
4,066,899
13,973
Four
Corners
Property
Trust,
Inc.
382,860
32,244
Gaming
and
Leisure
Properties,
Inc.
1,368,113
6,006
GDS
Holdings,
Ltd.
ADR
a
487,027
22,709
Life
Storage,
Inc.
1,951,839
9,965
National
Storage
Affiliates
Trust
397,903
14,704
Public
Storage,
Inc.
3,628,359
19,694
QTS
Realty
Trust,
Inc.
1,221,816
112,945
VICI
Properties,
Inc.
3,189,567
51,789
Weyerhaeuser
Company
1,843,688
Total
50,042,300
Total
Common
Stock
(cost
$123,904,623)
177,910,618
Real
Estate
Securities
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
336
Shares
Registered
Investment
Companies
(
0.1%
)
Value
Unaffiliated  (<0.1%)
3,361
iShares
U.S.
Home
Construction
ETF
$
228,094
Total
228,094
Total
Registered
Investment
Companies
(cost
$215,557)
228,094
Shares
Short-Term
Investments
(
0.7%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
128,456
0.180%
1,284,559
Total
Short-Term
Investments
(cost
$1,284,559)
1,284,559
Total
Investments
(cost
$125,404,739)
99.9%
$179,423,271
Other
Assets
and
Liabilities,
Net
0.1%
109,855
Total
Net
Assets
100.0%
$179,533,126
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
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
11,184,428
11,184,428
Health
Care
REITs
16,831,363
16,831,363
Hotel
&
Resort
REITs
7,410,084
7,410,084
Industrial
REITs
24,029,033
24,029,033
Office
REITs
14,931,991
14,931,991
Real
Estate
Operating
Companies
498,539
498,539
Real
Estate
Services
355,995
355,995
Residential
REITs
36,579,703
36,579,703
Retail
REITs
16,047,182
16,047,182
Specialized
REITs
50,042,300
50,042,300
Registered
Investment
Companies
Unaffiliated
228,094
228,094
Subtotal
Investments
in
Securities
$178,138,712
$178,138,712
$–
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
1,284,559
Subtotal
Other
Investments
$1,284,559
Total
Investments
at
Value
$179,423,271
*
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.  
Real
Estate
Securities
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
337
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$338
$5,957
$5,010
$1,285
128
0.7%
Total
Affiliated
Short-Term
Investments
338
1,285
0.7
Total
Value
$338
$1,285
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$0
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$0
Total
Value
$–
$–
$–
Small
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
338
Shares
Common
Stock
(
97.3%
)
Value
Consumer
Discretionary
(10.7%)
8,765
Bally's
Corporation
a
$
569,550
8,128
Choice
Hotels
International,
Inc.
872,053
28,045
Cooper-Standard
Holdings,
Inc.
a
1,018,594
70,274
Duluth
Holdings,
Inc.
a
1,190,442
5,009
Five
Below,
Inc.
a
955,667
2,201
Lithia
Motors,
Inc.
858,588
7,280
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
633,360
13,406
Planet
Fitness,
Inc.
a
1,036,284
21,848
Skyline
Corporation
a
988,840
8,703
Wingstop
,
Inc.
1,106,761
Total
9,230,139
Consumer
Staples
(3.6%)
684
Casey's
General
Stores,
Inc.
147,874
55,728
e.l.f
.
Beauty,
Inc.
a
1,495,182
28,414
Turning
Point
Brands,
Inc.
1,482,359
Total
3,125,415
Energy
(0.2%)
23,542
Nine
Energy
Service,
Inc.
a
54,147
12,579
Talos
Energy,
Inc.
a
151,451
Total
205,598
Financials
(6.2%)
11,983
Ameris
Bancorp
629,227
92,607
Everi
Holdings,
Inc.
a
1,306,685
8,199
Hamilton
Lane,
Inc.
726,104
4,188
Kinsale
Capital
Group,
Inc.
690,182
13,380
Seacoast
Banking
Corporation
of
Florida
a
484,891
2,585
TMX
Group,
Ltd.
268,620
13,197
Western
Alliance
Bancorp
1,246,325
Total
5,352,034
Health
Care
(21.2%)
24,407
ACADIA
Pharmaceuticals,
Inc.
a
629,701
11,871
Adaptive
Biotechnologies
Corporation
a
477,926
89,306
Ardelyx
,
Inc.
a
591,206
3,850
Arena
Pharmaceuticals,
Inc.
a
267,151
1,858
Argenx
SE
ADR
a
511,675
4,214
Ascendis
Pharma
AS
ADR
a
543,100
18,709
Axonics
Modulation
Technologies,
Inc.
a
1,120,482
6,848
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
468,061
2,231
Bio-
Techne
Corporation
852,086
2,788
Global
Blood
Therapeutics,
Inc.
a
113,611
7,766
Guardant
Health,
Inc.
a
1,185,480
11,422
Immunocore
Holdings
plc
ADR
a
486,235
6,889
Inspire
Medical
Systems,
Inc.
a
1,425,954
2,606
iRhythm
Technologies,
Inc.
a
361,869
10,996
LHC
Group,
Inc.
a
2,102,545
13,335
Natera
,
Inc.
a
1,354,036
7,561
Nevro
Corporation
a
1,054,759
2,015
Olink
Holding
AB
ADR
a
72,540
13,030
Pulmonx
Corporation
a
595,992
5,159
Repligen
Corporation
a
1,002,961
20,920
Silk
Road
Medical,
Inc.
a
1,059,598
16,834
Tactile
Systems
Technology,
Inc.
a
917,285
13,654
Travere
Therapeutics,
Inc.
a
340,940
12,689
Vor
BioPharma
,
Inc.
a,b
546,896
Shares
Common
Stock
(97.3%)
Value
Health
Care
(21.2%)
-
continued
9,115
Zymeworks
,
Inc.
a,b
$
287,852
Total
18,369,941
Industrials
(21.7%)
23,345
Altra
Industrial
Motion
Corporation
1,291,445
11,909
ASGN,
Inc.
a
1,136,595
9,983
Chart
Industries,
Inc.
a
1,421,080
8,285
Forward
Air
Corporation
735,791
7,372
Lincoln
Electric
Holdings,
Inc.
906,314
11,847
Mercury
Systems,
Inc.
a
836,991
48,422
Meritor,
Inc.
a
1,424,575
10,210
Middleby
Corporation
a
1,692,307
17,234
Ranpak
Holdings
Corporation
a
345,714
4,432
RBC
Bearings,
Inc.
a
872,085
9,466
Regal-Beloit
Corporation
1,350,609
22,890
Ritchie
Brothers
Auctioneers,
Inc.
1,340,209
23,902
Rush
Enterprises,
Inc.
1,191,037
3,955
Saia,
Inc.
a
911,944
7,730
Simpson
Manufacturing
Company,
Inc.
801,833
48,380
Summit
Materials,
Inc.
a
1,355,608
19,104
Sun
Country
Airlines
Holdings,
Inc.
a,b
654,885
13,070
Willdan
Group,
Inc.
a
536,523
Total
18,805,545
Information
Technology
(28.7%)
21,153
Anaplan,
Inc.
a
1,139,089
9,967
Avalara,
Inc.
a
1,329,897
10,351
Bandwidth,
Inc.
a,b
1,311,886
16,393
BigCommerce
Holdings,
Inc.
a,b
947,515
5,219
Blackline,
Inc.
a
565,740
12,696
Calix,
Inc.
a
440,043
7,554
Cognex
Corporation
626,907
1,001
Coupa
Software,
Inc.
a
254,735
11,435
Descartes
Systems
Group,
Inc.
a
696,506
11,093
Dolby
Laboratories,
Inc.
1,095,101
13,533
Endava
plc
ADR
a
1,146,110
6,835
Euronet
Worldwide,
Inc.
a
945,281
9,809
Five9,
Inc.
a
1,533,441
12,158
Health
Catalyst,
Inc.
a,b
568,630
20,793
Lattice
Semiconductor
Corporation
a
936,101
15,706
LivePerson
,
Inc.
a
828,334
8,052
Lumentum
Holdings,
Inc.
a
735,550
34,307
Medallia
,
Inc.
a
956,822
7,163
MKS
Instruments,
Inc.
1,328,163
3,823
Monolithic
Power
Systems,
Inc.
1,350,322
4,835
Nova
Measuring
Instruments,
Ltd.
a
440,033
4,000
Novanta
,
Inc.
a
527,560
7,720
Q2
Holdings,
Inc.
a
773,544
5,173
Rogers
Corporation
a
973,610
15,105
SailPoint
Technologies
Holdings,
Inc.
a
764,917
35,586
Sierra
Wireless,
Inc.
a,b
525,605
3,082
SiTime
Corporation
a
303,885
13,696
Sprout
Social,
Inc.
a
791,081
11,304
Workiva
,
Inc.
a
997,691
Total
24,834,099
Materials
(1.9%)
7,517
Innospec
,
Inc.
771,921
3,427
Quaker
Chemical
Corporation
835,400
Total
1,607,321
Small
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
339
Shares
Common
Stock
(97.3%)
Value
Real
Estate
(3.1%)
53,057
Cushman
and
Wakefield
plc
a
$
865,890
5,628
FirstService
Corporation
834,013
8,319
NexPoint
Residential
Trust,
Inc.
383,423
11,388
Rexford
Industrial
Realty,
Inc.
573,955
Total
2,657,281
Total
Common
Stock
(cost
$65,599,220)
84,187,373
Shares
Collateral
Held
for
Securities
Loaned
(
4.5%
)
Value
3,874,750
Thrivent
Cash
Management
Trust
3,874,750
Total
Collateral
Held
for
Securities
Loaned
(cost
$3,874,750)
3,874,750
Shares
Short-Term
Investments
(
2.6%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
222,431
0.180%
2,224,312
Total
Short-Term
Investments
(cost
$2,223,738)
2,224,312
Total
Investments
(cost
$71,697,708)
104.4%
$90,286,435
Other
Assets
and
Liabilities,
Net
(4.4%)
(3,793,703)
Total
Net
Assets
100.0%
$86,492,732
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
Small
Cap
Growth
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
3,960,972
Total
lending
$3,960,972
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$3,874,750
Net
amounts
due
to
counterparty
$(86,222)
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Small
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
340
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
Small
Cap
Growth
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Consumer
Discretionary
9,230,139
9,230,139
Consumer
Staples
3,125,415
3,125,415
Energy
205,598
205,598
Financials
5,352,034
5,083,414
268,620
Health
Care
18,369,941
18,369,941
Industrials
18,805,545
18,805,545
Information
Technology
24,834,099
24,834,099
Materials
1,607,321
1,607,321
Real
Estate
2,657,281
2,657,281
Subtotal
Investments
in
Securities
$84,187,373
$83,918,753
$268,620
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
2,224,312
Collateral
Held
for
Securities
Loaned
3,874,750
Subtotal
Other
Investments
$6,099,062
Total
Investments
at
Value
$90,286,435
*
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.  
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
Growth
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$1,865
$18,306
$17,947
$2,224
222
2.6%
Total
Affiliated
Short-Term
Investments
1,865
2,224
2.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
3,991
12,257
12,373
3,875
3,875
4.5
Total
Collateral
Held
for
Securities
Loaned
3,991
3,875
4.5
Total
Value
$5,856
$6,099
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$1
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
3
Total
Affiliated
Income
from
Securities
Loaned,
Net
$3
Total
Value
$–
$–
$–
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
341
Shares
Common
Stock
(
98.3%
)
Value
Communications
Services
(1.6%)
24,623
AMC
Networks,
Inc.
a,b
$
1,308,959
9,011
ATN
International,
Inc.
442,620
41,820
Cincinnati
Bell,
Inc.
b
641,937
34,785
Cogent
Communications
Holdings
2,391,816
59,865
Consolidated
Communications
Holdings,
Inc.
b
431,028
47,028
E.W.
Scripps
Company
906,229
108,501
Gannett
Company,
Inc.
b
583,735
33,324
Meredith
Corporation
b
992,389
40,279
QuinStreet
,
Inc.
b
817,664
24,671
Scholastic
Corporation
742,844
41,017
Shenandoah
Telecommunications
Company
2,002,040
14,638
Spok
Holdings,
Inc.
153,553
192,374
Vonage
Holdings
Corporation
b
2,273,861
Total
13,688,675
Consumer
Discretionary
(15.8%)
28,098
Aaron's
Company,
Inc.
721,557
51,259
Abercrombie
&
Fitch
Company
b
1,758,696
93,069
American
Axle
&
Manufacturing
Holdings,
Inc.
b
899,047
15,284
American
Public
Education,
Inc.
b
544,569
5,052
America's
Car-Mart,
Inc.
b
769,773
15,878
Asbury
Automotive
Group,
Inc.
b
3,120,027
24,989
Barnes
&
Noble
Education,
Inc.
b
203,410
99,574
Bed
Bath
&
Beyond,
Inc.
b
2,902,582
27,741
Big
Lots,
Inc.
1,894,710
19,048
BJ's
Restaurants,
Inc.
b
1,106,308
65,948
Bloomin
'
Brands,
Inc.
b
1,783,893
23,827
Boot
Barn
Holdings,
Inc.
b
1,484,660
37,344
Brinker
International,
Inc.
b
2,653,665
23,540
Buckle,
Inc.
a
924,651
31,139
Caleres
,
Inc.
678,830
77,417
Callaway
Golf
Company
2,070,905
16,173
Cato
Corporation
b
194,076
7,022
Cavco
Industries,
Inc.
b
1,584,233
23,837
Century
Communities,
Inc.
b
1,437,848
34,634
Cheesecake
Factory,
Inc.
b
2,026,435
98,508
Chico's
FAS,
Inc.
b
326,062
11,983
Children's
Place,
Inc.
b
835,215
16,179
Chuy's
Holdings,
Inc.
b
717,053
15,833
Conn's,
Inc.
b
307,952
41,432
Cooper
Tire
&
Rubber
Company
2,319,363
13,880
Cooper-Standard
Holdings,
Inc.
b
504,122
37,100
Core-Mark
Holding
Company,
Inc.
1,435,399
53,757
Crocs,
Inc.
b
4,324,751
39,136
Dave
&
Buster's
Entertainment,
Inc.
b
1,874,614
48,336
Designer
Brands,
Inc.
b
841,046
13,673
Dine
Brands
Global,
Inc.
b
1,230,980
23,525
Dorman
Products,
Inc.
b
2,414,606
15,569
El
Pollo
Loco
Holdings,
Inc.
b
250,972
17,991
Ethan
Allen
Interiors,
Inc.
496,732
14,466
Fiesta
Restaurant
Group,
Inc.
b
182,127
38,479
Fossil,
Inc.
b
477,140
44,954
GameStop
Corporation
a,b
8,533,168
11,700
Genesco,
Inc.
b
555,750
27,062
Gentherm
,
Inc.
b
2,005,565
35,753
G-III
Apparel
Group,
Ltd.
b
1,077,595
13,973
Group
1
Automotive,
Inc.
2,204,800
30,837
Guess
?,
Inc.
724,670
13,718
Haverty
Furniture
Companies,
Inc.
510,172
13,635
Hibbett
Sports,
Inc.
b
939,315
18,494
Installed
Building
Products,
Inc.
2,050,615
Shares
Common
Stock
(98.3%)
Value
Consumer
Discretionary
(15.8%)
-
continued
23,165
iRobot
Corporation
b
$
2,830,300
38,646
Kontoor
Brands,
Inc.
1,875,490
38,031
La-Z-Boy,
Inc.
1,615,557
20,667
LCI
Industries
2,733,831
18,061
LGI
Homes,
Inc.
b
2,696,688
22,090
Liquidity
Services,
Inc.
b
410,432
23,749
Lumber
Liquidators
Holdings,
Inc.
b
596,575
45,463
M.D.C.
Holdings,
Inc.
2,700,502
23,913
M/I
Homes,
Inc.
b
1,412,541
255,065
Macy's,
Inc.
b
4,129,502
19,315
Marcus
Corporation
a,b
386,107
18,184
MarineMax
,
Inc.
b
897,562
30,815
Meritage
Homes
Corporation
b
2,832,515
58,184
Michaels
Companies,
Inc.
b
1,276,557
10,595
Monarch
Casino
&
Resort,
Inc.
b
642,269
27,459
Monro
,
Inc.
1,806,802
15,654
Motorcar
Parts
of
America,
Inc.
b
352,215
13,624
Movado
Group,
Inc.
387,603
43,968
Office
Depot,
Inc.
b
1,903,375
13,870
Oxford
Industries,
Inc.
1,212,515
57,554
Perdoceo
Education
Corporation
b
688,346
16,652
PetMed
Express,
Inc.
a
585,734
12,794
Red
Robin
Gourmet
Burgers,
Inc.
b
510,353
19,991
Regis
Corporation
b
251,087
40,229
Rent-A-Center,
Inc.
2,319,604
26,158
Ruth's
Hospitality
Group,
Inc.
b
649,503
92,673
Sally
Beauty
Holdings,
Inc.
b
1,865,508
29,811
Shake
Shack,
Inc.
b
3,361,786
7,067
Shoe
Carnival,
Inc.
437,306
18,168
Shutterstock
,
Inc.
1,617,679
42,995
Signet
Jewelers,
Ltd.
b
2,492,850
20,845
Sleep
Number
Corporation
b
2,991,049
19,211
Sonic
Automotive,
Inc.
952,289
15,091
Stamps.com,
Inc.
b
3,010,805
16,529
Standard
Motor
Products,
Inc.
687,276
63,556
Steven
Madden,
Ltd.
2,368,097
14,413
Sturm,
Ruger
&
Company,
Inc.
952,267
19,415
TechTarget
,
Inc.
b
1,348,372
40,396
Tupperware
Brands
Corporation
b
1,066,858
12,297
Unifi,
Inc.
b
338,905
11,344
Universal
Electronics,
Inc.
b
623,580
18,116
Vera
Bradley,
Inc.
b
182,972
47,910
Vista
Outdoor,
Inc.
b
1,536,474
27,728
Winnebago
Industries,
Inc.
2,127,015
67,754
Wolverine
World
Wide,
Inc.
2,596,333
17,158
Zumiez
,
Inc.
b
736,078
Total
134,896,723
Consumer
Staples
(4.0%)
25,361
Andersons,
Inc.
694,384
53,127
B&G
Foods,
Inc.
1,650,125
13,668
Calavo
Growers,
Inc.
1,061,184
30,701
Cal-Maine
Foods,
Inc.
b
1,179,532
22,041
Celsius
Holdings,
Inc.
b
1,059,070
8,008
Central
Garden
&
Pet
Company
b
464,544
32,254
Central
Garden
&
Pet
Company,
Class
A
b
1,673,660
26,336
Chefs'
Warehouse,
Inc.
b
802,195
3,813
Coca-Cola
Consolidated,
Inc.
1,101,118
31,570
e.l.f
.
Beauty,
Inc.
b
847,023
44,588
Edgewell
Personal
Care
Company
1,765,685
24,907
Fresh
Del
Monte
Produce,
Inc.
713,087
14,553
Inter
Parfums
,
Inc.
1,032,244
12,317
J
&
J
Snack
Foods
Corporation
1,934,139
7,286
John
B.
Sanfilippo
&
Son,
Inc.
658,436
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
342
Shares
Common
Stock
(98.3%)
Value
Consumer
Staples
(4.0%)
-
continued
9,672
Medifast
,
Inc.
$
2,048,723
10,841
MGP
Ingredients,
Inc.
641,245
19,159
National
Beverage
Corporation
a
937,067
19,190
PriceSmart
,
Inc.
1,856,632
5,500
Seneca
Foods
Corporation
b
258,995
69,196
Simply
Good
Foods
Company
b
2,104,942
29,685
SpartanNash
Company
582,717
46,113
United
Natural
Foods,
Inc.
b
1,518,962
20,138
Universal
Corporation
1,187,941
9,764
USANA
Health
Sciences,
Inc.
b
952,966
105,133
Vector
Group,
Ltd.
1,466,605
11,244
WD-40
Company
3,442,688
Total
33,635,909
Energy
(3.8%)
105,429
Archrock
,
Inc.
1,000,521
15,236
Bonanza
Creek
Energy,
Inc.
b
544,382
19,037
Bristow
Group,
Inc.
b
492,678
37,914
Callon
Petroleum
Company
a,b
1,461,585
24,601
CONSOL
Energy,
Inc.
b
239,122
36,616
Core
Laboratories
NV
1,054,175
22,490
Dorian
LPG,
Ltd.
b
295,294
29,104
Dril
-Quip,
Inc.
b
967,126
34,656
Green
Plains,
Inc.
b
938,138
116,379
Helix
Energy
Solutions
Group,
Inc.
b
587,714
88,599
Helmerich
&
Payne,
Inc.
2,388,629
7,405
Laredo
Petroleum
Holdings,
Inc.
b
222,594
90,163
Matador
Resources
Company
2,114,322
21,777
Matrix
Service
Company
b
285,496
5,320
Nabors
Industries,
Ltd.
a,b
497,154
81,578
Oceaneering
International,
Inc.
b
931,621
50,145
Oil
States
International,
Inc.
b
302,374
32,831
Par
Pacific
Holdings,
Inc.
b
463,574
154,219
Patterson-UTI
Energy,
Inc.
1,099,581
78,928
PBF
Energy,
Inc.
b
1,116,831
81,967
PDC
Energy,
Inc.
b
2,819,665
12,486
Penn
Virginia
Corporation
b
167,312
67,004
ProPetro
Holding
Corporation
b
714,263
212,407
Range
Resources
Corporation
b
2,194,164
36,422
Renewable
Energy
Group,
Inc.
b
2,405,309
4,332
REX
American
Resources
Corporation
b
364,624
47,869
RPC,
Inc.
b
258,493
15,854
SEACOR
Holdings,
Inc.
a,b
646,051
87,659
SM
Energy
Company
1,434,978
531,882
Southwestern
Energy
Company
b
2,473,251
26,040
Talos
Energy,
Inc.
b
313,522
61,032
U.S.
Silica
Holdings,
Inc.
b
750,083
42,177
Warrior
Met
Coal,
Inc.
722,492
Total
32,267,118
Financials
(17.1%)
15,272
Allegiance
Bancshares,
Inc.
619,127
37,664
Ambac
Financial
Group,
Inc.
b
630,495
70,556
American
Equity
Investment
Life
Holding
Company
2,224,631
57,190
Ameris
Bancorp
3,003,047
15,880
AMERISAFE,
Inc.
1,016,320
105,691
Apollo
Commercial
Real
Estate
Finance,
Inc.
1,476,503
53,634
ARMOUR
Residential
REIT,
Inc.
654,335
62,910
Assured
Guaranty,
Ltd.
2,659,835
42,198
Axos
Financial,
Inc.
b
1,983,728
36,655
Banc
of
California,
Inc.
662,722
15,333
BancFirst
Corporation
1,083,890
Shares
Common
Stock
(98.3%)
Value
Financials
(17.1%)
-
continued
76,283
BankUnited
,
Inc.
$
3,352,638
28,879
Banner
Corporation
1,540,117
41,924
Berkshire
Hills
Bancorp,
Inc.
935,744
39,641
Blucora
,
Inc.
b
659,626
3,699
BM
Technologies,
Inc.
b,c
40,939
67,714
Boston
Private
Financial
Holdings,
Inc.
901,950
48,918
BrightSphere
Investment
Group
996,949
64,190
Brookline
Bancorp,
Inc.
962,850
102,238
Cadence
Bancorporation
2,119,394
106,044
Capitol
Federal
Financial,
Inc.
1,404,553
79,504
Capstead
Mortgage
Corporation
495,310
23,151
Central
Pacific
Financial
Corporation
617,669
12,925
City
Holding
Company
1,057,006
58,844
Columbia
Banking
System,
Inc.
2,535,588
44,092
Community
Bank
System,
Inc.
3,382,738
24,129
Customers
Bancorp,
Inc.
b
767,785
104,919
CVB
Financial
Corporation
2,317,661
28,768
Dime
Community
Bancshares,
Inc.
867,068
24,346
Donnelley
Financial
Solutions,
Inc.
b
677,549
26,109
Eagle
Bancorp,
Inc.
1,389,260
21,303
eHealth,
Inc.
b
1,549,367
23,335
Employers
Holdings,
Inc.
1,004,805
25,750
Encore
Capital
Group,
Inc.
a,b
1,035,922
29,810
Enova
International,
Inc.
b
1,057,659
43,233
EZCORP,
Inc.
b
214,868
25,602
FB
Financial
Corporation
1,138,265
179,268
First
Bancorp/Puerto
Rico
2,018,558
23,406
First
Bancorp/Southern
Pines
NC
1,018,161
78,994
First
Commonwealth
Financial
Corporation
1,135,144
79,990
First
Financial
Bancorp
1,919,760
107,546
First
Hawaiian,
Inc.
2,943,534
94,195
First
Midwest
Bancorp,
Inc.
2,063,812
38,947
Flagstar
Bancorp,
Inc.
1,756,510
45,269
Granite
Point
Mortgage
Trust,
Inc.
541,870
45,267
Great
Western
Bancorp,
Inc.
1,371,137
44,387
Green
Dot
Corporation
b
2,032,481
12,021
Greenhill
&
Company,
Inc.
198,106
25,233
Hanmi
Financial
Corporation
497,847
5,112
HCI
Group,
Inc.
392,704
29,503
Heritage
Financial
Corporation
833,165
53,337
Hilltop
Holdings,
Inc.
1,820,392
17,898
HomeStreet
,
Inc.
788,765
101,261
Hope
Bancorp,
Inc.
1,524,991
34,027
Horace
Mann
Educators
Corporation
1,470,307
27,123
Independent
Bank
Corporation
2,283,485
30,159
Independent
Bank
Group,
Inc.
2,178,686
189,613
Invesco
Mortgage
Capital.
Inc.
760,348
184,930
Investors
Bancorp,
Inc.
2,716,622
25,273
James
River
Group
Holdings,
Ltd.
1,152,954
22,388
KKR
Real
Estate
Finance
Trust,
Inc.
411,715
26,491
Meta
Financial
Group,
Inc.
1,200,307
58,054
Mr.
Cooper
Group,
Inc.
b
2,017,957
25,172
National
Bank
Holdings
Corporation
998,825
35,800
NBT
Bancorp,
Inc.
1,428,420
311,715
New
York
Mortgage
Trust,
Inc.
1,393,366
70,074
NMI
Holdings,
Inc.
b
1,656,549
38,600
Northfield
Bancorp,
Inc.
614,512
104,284
Northwest
Bancshares,
Inc.
1,506,904
42,218
OFG
Bancorp
954,971
136,094
Old
National
Bancorp
2,632,058
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
343
Shares
Common
Stock
(98.3%)
Value
Financials
(17.1%)
-
continued
77,459
Pacific
Premier
Bancorp,
Inc.
$
3,364,819
17,823
Palomar
Holdings,
Inc.
b
1,194,854
11,659
Park
National
Corporation
a
1,507,509
80,424
PennyMac
Mortgage
Investment
Trust
1,576,310
11,317
Piper
Sandler
Companies
1,240,909
37,454
PRA
Group,
Inc.
b
1,388,420
11,140
Preferred
Bank
709,395
44,269
ProAssurance
Corporation
1,184,638
59,428
Provident
Financial
Services,
Inc.
1,324,056
47,910
Ready
Capital
Corporation
642,952
92,078
Redwood
Trust,
Inc.
958,532
46,198
Renasant
Corporation
1,911,673
32,279
S&T
Bancorp,
Inc.
1,081,346
11,623
Safety
Insurance
Group,
Inc.
979,238
45,386
Seacoast
Banking
Corporation
of
Florida
b
1,644,789
38,653
ServisFirst
Bancshares,
Inc.
2,370,588
88,790
Simmons
First
National
Corporation
2,634,399
69,958
SiriusPoint
,
Ltd.
b
711,473
25,564
Southside
Bancshares,
Inc.
984,470
21,977
Stewart
Information
Services
Corporation
1,143,463
13,556
StoneX
Group,
Inc.
b
886,291
9,968
Tompkins
Financial
Corporation
824,354
18,597
Triumph
Bancorp,
Inc.
b
1,439,222
27,238
Trupanion
,
Inc.
b
2,075,808
79,216
TrustCo
Bank
Corporation
583,822
71,251
United
Community
Banks,
Inc.
2,431,084
17,723
United
Fire
Group,
Inc.
616,760
16,985
United
Insurance
Holdings
Corporation
122,462
23,328
Universal
Insurance
Holdings,
Inc.
334,524
40,600
Veritex
Holdings,
Inc.
1,328,432
5,856
Virtus
Investment
Partners,
Inc.
1,379,088
51,077
Waddell
&
Reed
Financial,
Inc.
1,279,479
24,093
Walker
&
Dunlop,
Inc.
2,475,315
22,021
Westamerica
Bancorporation
1,382,478
92,302
WisdomTree
Investments,
Inc.
576,887
3,242
World
Acceptance
Corporation
b
420,682
39,016
WSFS
Financial
Corporation
1,942,607
Total
145,925,964
Health
Care
(11.1%)
12,351
Addus
HomeCare
Corporation
b
1,291,791
115,032
Allscripts
Healthcare
Solutions,
Inc.
b
1,727,206
38,757
AMN
Healthcare
Services,
Inc.
b
2,856,391
30,048
Amphastar
Pharmaceuticals,
Inc.
b
550,479
31,186
AngioDynamics
,
Inc.
b
729,752
7,912
ANI
Pharmaceuticals,
Inc.
b
285,940
11,772
Anika
Therapeutics,
Inc.
b
480,180
33,016
Cardiovascular
Systems,
Inc.
b
1,265,833
52,622
Coherus
Biosciences,
Inc.
a,b
768,807
28,551
Collegium
Pharmaceutical,
Inc.
b
676,659
100,086
Community
Health
Systems,
Inc.
b
1,353,163
10,371
Computer
Programs
and
Systems,
Inc.
317,353
23,776
CONMED
Corporation
3,104,908
86,731
Corcept
Therapeutics,
Inc.
b
2,063,331
7,490
CorVel
Corporation
b
768,399
81,690
Covetrus
,
Inc.
b
2,448,249
28,659
Cross
Country
Healthcare,
Inc.
b
357,951
32,002
CryoLife
,
Inc.
b
722,605
Shares
Common
Stock
(98.3%)
Value
Health
Care
(11.1%)
-
continued
14,485
Cutera
,
Inc.
b
$
435,274
58,415
Cytokinetics,
Inc.
a,b
1,358,733
9,526
Eagle
Pharmaceuticals,
Inc.
b
397,615
14,748
Enanta
Pharmaceuticals,
Inc.
b
727,371
189,349
Endo
International
plc
b
1,403,076
42,235
Ensign
Group,
Inc.
3,963,332
14,469
Fulgent
Genetics,
Inc.
a,b
1,397,995
37,612
Glaukos
Corporation
b
3,156,775
31,337
Hanger,
Inc.
b
715,110
20,697
HealthStream
,
Inc.
b
462,371
8,129
Heska
Corporation
b
1,369,411
51,640
Innoviva
,
Inc.
b
617,098
15,170
Inogen
,
Inc.
b
796,728
27,073
Integer
Holdings
Corporation
b
2,493,423
28,276
Invacare
Corporation
226,774
27,982
Lannett
Company,
Inc.
b
147,745
55,012
Lantheus
Holdings,
Inc.
b
1,175,606
13,870
LeMaitre
Vascular,
Inc.
676,579
35,668
Luminex
Corporation
1,137,809
18,984
Magellan
Health
Services,
Inc.
b
1,770,068
70,344
Mednax
,
Inc.
b
1,791,662
35,442
Meridian
Bioscience,
Inc.
b
930,353
40,259
Merit
Medical
Systems,
Inc.
b
2,410,709
4,005
Mesa
Laboratories,
Inc.
a
975,218
10,142
ModivCare
,
Inc.
b
1,502,233
61,783
Myriad
Genetics,
Inc.
b
1,881,292
27,826
Natus
Medical,
Inc.
b
712,624
96,062
NeoGenomics
,
Inc.
b
4,633,070
45,684
NextGen
Healthcare,
Inc.
b
826,880
35,358
Omnicell
,
Inc.
b
4,591,944
59,101
OraSure
Technologies,
Inc.
b
689,709
16,028
Orthifix
Medical,
Inc.
b
694,814
60,377
Owens
&
Minor,
Inc.
2,269,571
36,032
Pacira
Pharmaceuticals,
Inc.
b
2,525,483
20,895
Pennant
Group,
Inc.
b
956,991
16,666
Phibro
Animal
Health
Corporation
406,650
40,962
Prestige
Consumer
Healthcare,
Inc.
b
1,805,605
100,795
R1
RCM,
Inc.
b
2,487,621
35,206
RadNet
,
Inc.
b
765,731
28,627
REGENXBIO,
Inc.
b
976,467
88,613
Select
Medical
Holdings
Corporation
b
3,021,703
119,870
Spectrum
Pharmaceuticals,
Inc.
b
390,776
43,474
Supernus
Pharmaceuticals,
Inc.
b
1,138,149
11,300
Surmodics
,
Inc.
b
633,591
18,451
Tabula
Rasa
HealthCare,
Inc.
a,b
849,669
16,025
Tactile
Systems
Technology,
Inc.
b
873,202
31,089
Tivity
Health,
Inc.
b
693,907
10,557
U.S.
Physical
Therapy,
Inc.
1,098,984
45,085
Vanda
Pharmaceuticals,
Inc.
b
677,177
32,201
Varex
Imaging
Corporation
b
659,799
37,751
Vericel
Corporation
a,b
2,097,068
47,600
Xencor
,
Inc.
b
2,049,656
16,009
Zynex
,
Inc.
a,b
244,457
Total
94,460,655
Industrials
(17.4%)
33,503
AAON,
Inc.
2,345,545
27,252
AAR
Corporation
b
1,135,046
55,102
ABM
Industries,
Inc.
2,810,753
25,142
Aegion
Corporation
b
722,832
59,231
Aerojet
Rocketdyne
Holdings,
Inc.
2,781,488
18,448
AeroVironment
,
Inc.
b
2,141,075
8,111
Alamo
Group,
Inc.
1,266,533
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
344
Shares
Common
Stock
(98.3%)
Value
Industrials
(17.4%)
-
continued
25,219
Albany
International
Corporation
$
2,105,030
10,788
Allegiant
Travel
Company
b
2,632,919
13,966
American
Woodmark
Corporation
b
1,376,768
21,365
Apogee
Enterprises,
Inc.
873,401
31,840
Applied
Industrial
Technologies,
Inc.
2,902,853
20,864
ArcBest
Corporation
1,468,200
80,416
Arconic
Corporation
b
2,041,762
39,576
Arcosa
,
Inc.
2,576,002
18,576
Astec
Industries,
Inc.
1,401,002
22,474
Atlas
Air
Worldwide
Holdings,
Inc.
b
1,358,329
20,836
AZZ,
Inc.
1,049,093
38,278
Barnes
Group,
Inc.
1,896,292
39,830
Brady
Corporation
2,128,913
29,201
Chart
Industries,
Inc.
b
4,156,762
16,430
CIRCOR
International,
Inc.
b
572,093
29,725
Comfort
Systems
USA,
Inc.
2,222,538
26,084
Cubic
Corporation
1,945,084
34,525
Deluxe
Corporation
1,448,669
13,446
DXP
Enterprises,
Inc.
b
405,666
21,858
Echo
Global
Logistics,
Inc.
b
686,560
16,948
Encore
Wire
Corporation
1,137,719
49,182
Enerpac
Tool
Group
Corporation
1,284,634
16,899
EnPro
Industries,
Inc.
1,440,978
21,389
ESCO
Technologies,
Inc.
2,329,048
42,555
Exponent,
Inc.
4,146,985
49,730
Federal
Signal
Corporation
1,904,659
9,035
Forrester
Research,
Inc.
b
383,807
22,614
Forward
Air
Corporation
2,008,349
31,522
Franklin
Electric
Company,
Inc.
2,488,347
26,756
Gibraltar
Industries,
Inc.
b
2,448,442
35,197
GMS,
Inc.
b
1,469,475
37,522
Granite
Construction,
Inc.
1,510,260
26,964
Greenbrier
Companies,
Inc.
1,273,240
37,124
Griffon
Corporation
1,008,659
64,833
Harsco
Corporation
b
1,111,886
39,801
Hawaiian
Holdings,
Inc.
b
1,061,493
40,076
Heartland
Express,
Inc.
784,688
15,904
Heidrick
&
Struggles
International,
Inc.
568,091
61,654
Hillenbrand,
Inc.
2,941,512
35,270
HNI
Corporation
1,395,281
27,743
Hub
Group,
Inc.
b
1,866,549
15,866
Insteel
Industries,
Inc.
489,307
48,172
Interface,
Inc.
601,187
26,065
John
Bean
Technologies
Corporation
3,475,507
22,780
Kaman
Corporation
1,168,386
27,448
Kelly
Services,
Inc.
b
611,267
44,357
Korn
Ferry
2,766,546
8,925
Lindsay
Corporation
1,487,083
13,938
Lydall
,
Inc.
b
470,268
48,237
Marten
Transport,
Ltd.
818,582
35,680
Matson,
Inc.
2,379,856
26,020
Matthews
International
Corporation
1,029,091
59,585
Meritor,
Inc.
b
1,752,991
24,117
Moog,
Inc.
2,005,328
46,919
Mueller
Industries,
Inc.
1,940,101
13,791
MYR
Group,
Inc.
b
988,401
4,269
National
Presto
Industries,
Inc.
435,737
90,322
NOW,
Inc.
b
911,349
18,180
Patrick
Industries,
Inc.
1,545,300
48,807
PGT
Innovations,
Inc.
b
1,232,377
142,339
Pitney
Bowes,
Inc.
1,172,873
7,289
Powell
Industries,
Inc.
246,878
Shares
Common
Stock
(98.3%)
Value
Industrials
(17.4%)
-
continued
22,677
Proto
Labs,
Inc.
b
$
2,760,925
27,634
Quanex
Building
Products
Corporation
724,840
29,453
Raven
Industries,
Inc.
1,128,933
117,584
Resideo
Technologies,
Inc.
b
3,321,748
25,102
Resources
Connection,
Inc.
339,881
21,629
Saia,
Inc.
b
4,987,215
41,356
SkyWest,
Inc.
b
2,253,075
37,028
SPX
Corporation
b
2,157,622
34,624
SPX
FLOW,
Inc.
2,192,738
10,151
Standex
International
Corporation
970,131
25,160
Team,
Inc.
b
290,095
15,210
Tennant
Company
1,215,127
41,400
Titan
International,
Inc.
b
384,192
42,904
Triumph
Group,
Inc.
b
788,575
29,151
TrueBlue
,
Inc.
b
641,905
50,280
UFP
Industries,
Inc.
3,813,235
12,499
UniFirst
Corporation
2,796,151
25,876
US
Ecology,
Inc.
b
1,077,477
10,235
Veritiv
Corporation
b
435,397
16,811
Viad
Corporation
b
701,859
17,424
Vicor
Corporation
b
1,481,563
42,763
Wabash
National
Corporation
803,944
22,567
Watts
Water
Technologies,
Inc.
2,681,185
Total
148,491,538
Information
Technology
(13.7%)
101,979
3D
Systems
Corporation
b
2,798,304
88,296
8x8,
Inc.
b
2,864,322
39,708
ADTRAN,
Inc.
662,329
31,462
Advanced
Energy
Industries,
Inc.
3,434,707
16,699
Agilysys
,
Inc.
b
800,884
37,068
Alarm.com
Holdings,
Inc.
b
3,201,934
20,179
Applied
Optoelectronics,
Inc.
a,b
168,696
66,131
Arlo
Technologies,
Inc.
b
415,303
27,710
Axcelis
Technologies,
Inc.
b
1,138,604
23,942
Badger
Meter,
Inc.
2,228,282
8,390
Bel
Fuse,
Inc.
166,877
29,841
Benchmark
Electronics,
Inc.
922,684
31,940
Bottomline
Technologies
(de),
Inc.
b
1,445,285
28,780
CalAmp
Corporation
b
312,263
29,681
Cardtronics
,
Inc.
b
1,151,623
18,734
CEVA,
Inc.
b
1,051,914
38,724
Cohu
,
Inc.
b
1,620,212
21,402
Comtech
Telecommunications
Corporation
531,626
26,815
CSG
Systems
International,
Inc.
1,203,725
26,573
CTS
Corporation
825,357
30,289
Daktronics,
Inc.
b
189,912
64,221
Diebold
Nixdorf,
Inc.
b
907,443
27,280
Digi
International,
Inc.
b
518,047
34,558
Diodes,
Inc.
b
2,759,111
18,027
DSP
Group,
Inc.
b
256,885
19,331
Ebix
,
Inc.
a
619,172
11,092
ePlus
,
Inc.
b
1,105,207
49,185
EVERTEC,
Inc.
1,830,666
27,499
ExlService
Holdings,
Inc.
b
2,479,310
101,519
Extreme
Networks,
Inc.
b
888,291
30,288
Fabrinet
b
2,737,732
14,802
FARO
Technologies,
Inc.
b
1,281,409
63,869
FormFactor
,
Inc.
b
2,881,131
123,505
Glu
Mobile,
Inc.
b
1,541,342
82,842
Harmonic,
Inc.
b
649,481
23,050
Ichor
Holdings,
Ltd.
b
1,240,090
28,836
Insight
Enterprises,
Inc.
b
2,751,531
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
345
Shares
Common
Stock
(98.3%)
Value
Information
Technology
(13.7%)
-
continued
36,429
Itron
,
Inc.
b
$
3,229,431
75,350
Knowles
Corporation
b
1,576,322
50,994
Kulicke
and
Soffa
Industries,
Inc.
2,504,315
51,785
LivePerson
,
Inc.
b
2,731,141
22,447
ManTech
International
Corporation
1,951,767
55,724
MaxLinear
,
Inc.
b
1,899,074
31,583
Methode
Electronics,
Inc.
1,325,854
6,262
MicroStrategy
,
Inc.
a,b
4,250,646
15,998
MTS
Systems
Corporation
b
931,084
25,138
NETGEAR,
Inc.
b
1,033,172
55,197
NIC,
Inc.
1,872,834
27,871
OneSpan
,
Inc.
b
682,839
40,113
Onto
Innovation,
Inc.
b
2,635,825
13,730
OSI
Systems,
Inc.
b
1,319,453
15,403
Park
Aerospace
Corporation
203,628
9,031
PC
Connection,
Inc.
418,948
24,072
PDF
Solutions,
Inc.
b
428,000
27,134
Perficient
,
Inc.
b
1,593,308
52,094
Photronics
,
Inc.
b
669,929
30,845
Plantronics,
Inc.
b
1,200,179
23,674
Plexus
Corporation
b
2,174,220
49,332
Power
Integrations,
Inc.
4,019,571
36,322
Progress
Software
Corporation
1,600,347
91,782
Rambus,
Inc.
b
1,784,242
15,361
Rogers
Corporation
b
2,891,094
53,335
Sanmina
Corporation
b
2,207,002
20,908
ScanSource
,
Inc.
b
626,195
12,464
Simulations
Plus,
Inc.
788,223
11,600
SMART
Global
Holdings,
Inc.
b
533,832
29,231
SPS
Commerce,
Inc.
b
2,902,931
32,542
Sykes
Enterprises,
Inc.
b
1,434,451
14,973
TTEC
Holdings,
Inc.
1,504,038
81,569
TTM
Technologies,
Inc.
b
1,182,751
33,362
Ultra
Clean
Holdings,
Inc.
b
1,936,330
51,788
Unisys
Corporation
b
1,316,451
40,847
Veeco
Instruments,
Inc.
b
847,167
187,894
Viavi
Solutions,
Inc.
b
2,949,936
86,083
Xperi
Holding
Corporation
1,874,027
Total
116,612,248
Materials
(4.9%)
23,029
AdvanSix
,
Inc.
b
617,638
104,185
Allegheny
Technologies,
Inc.
b
2,194,136
21,895
American
Vanguard
Corporation
446,877
26,610
Balchem
Corporation
3,337,160
32,204
Boise
Cascade
Company
1,926,765
39,452
Carpenter
Technology
Corporation
1,623,450
41,428
Century
Aluminum
Company
b
731,618
13,640
Clearwater
Paper
Corporation
b
513,137
12,642
DMC
Global,
Inc.
b
685,955
67,676
Ferro
Corporation
b
1,141,017
21,201
FutureFuel
Corporation
308,051
39,623
GCP
Applied
Technologies,
Inc.
b
972,348
36,447
Glatfelter
Corporation
625,066
42,792
H.B.
Fuller
Company
2,692,045
15,516
Hawkins,
Inc.
520,096
10,418
Haynes
International,
Inc.
309,102
20,207
Innospec
,
Inc.
2,075,057
12,989
Kaiser
Aluminum
Corporation
1,435,284
17,332
Koppers
Holdings,
Inc.
b
602,460
26,183
Kraton
Performance
Polymers,
Inc.
b
958,036
120,432
Livent
Corporation
a,b
2,085,882
16,700
Materion
Corporation
1,106,208
32,465
Mercer
International,
Inc.
467,171
Shares
Common
Stock
(98.3%)
Value
Materials
(4.9%)
-
continued
29,429
Myers
Industries,
Inc.
$
581,517
13,831
Neenah,
Inc.
710,637
129,340
O-I
Glass,
Inc.
b
1,906,472
7,460
Olympic
Steel,
Inc.
219,697
10,853
Quaker
Chemical
Corporation
2,645,636
52,048
Rayonier
Advanced
Materials,
Inc.
b
472,075
25,807
Schweitzer-Mauduit
International,
Inc.
1,263,769
17,541
Stepan
Company
2,229,637
68,022
SunCoke
Energy,
Inc.
476,834
31,172
TimkenSteel
Corporation
b
366,271
21,188
Tredegar
Corporation
318,032
31,577
Trinseo
SA
2,010,508
13,086
US
Concrete,
Inc.
b
959,466
Total
41,535,110
Real
Estate
(7.5%)
70,879
Acadia
Realty
Trust
1,344,575
52,139
Agree
Realty
Corporation
3,509,476
59,474
Alexander
&
Baldwin,
Inc.
998,568
41,232
American
Assets
Trust,
Inc.
1,337,566
48,710
Armada
Hoffler
Properties,
Inc.
610,823
140,173
Brandywine
Realty
Trust
1,809,633
78,774
CareTrust
REIT,
Inc.
1,834,253
10,659
Centerspace
724,812
38,620
Chatham
Lodging
Trust
b
508,239
18,541
Community
Healthcare
Trust,
Inc.
855,111
98,279
CoreCivic
,
Inc.
b
889,425
172,569
DiamondRock
Hospitality
Company
b
1,777,461
195,729
Diversified
Healthcare
Trust
935,585
67,466
Easterly
Government
Properties,
Inc.
1,398,570
87,844
Essential
Properties
Realty
Trust,
Inc.
2,005,479
62,522
Four
Corners
Property
Trust,
Inc.
1,713,103
79,350
Franklin
Street
Properties
Corporation
432,457
99,650
GEO
Group,
Inc.
773,284
30,190
Getty
Realty
Corporation
854,981
74,404
Global
Net
Lease,
Inc.
1,343,736
29,994
Hersha
Hospitality
Trust
b
316,437
83,672
Independence
Realty
Trust,
Inc.
1,271,814
53,643
Industrial
Logistics
Properties
Trust
1,240,763
19,654
Innovative
Industrial
Properties,
Inc.
3,540,865
60,683
iSTAR
Financial,
Inc.
1,078,944
69,243
Kite
Realty
Group
Trust
1,335,697
228,002
Lexington
Realty
Trust
2,533,102
32,236
LTC
Properties,
Inc.
1,344,886
70,804
Mack-Cali
Realty
Corporation
1,096,046
19,744
Marcus
and
Millichap,
Inc.
b
665,373
52,757
National
Storage
Affiliates
Trust
2,106,587
18,533
NexPoint
Residential
Trust,
Inc.
854,186
39,692
Office
Properties
Income
Trust
1,092,324
15,260
RE/MAX
Holdings,
Inc.
601,091
94,877
Realogy
Holdings
Corporation
b
1,435,489
97,035
Retail
Opportunity
Investments
Corporation
1,539,945
176,297
Retail
Properties
of
America,
Inc.
1,847,593
66,724
RPT
Realty
761,321
11,811
Safehold
,
Inc.
827,951
10,617
Saul
Centers,
Inc.
425,848
136,990
SITE
Centers
Corporation
1,857,584
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
346
/
Shares
Common
Stock
(98.3%)
Value
Real
Estate
(7.5%)
-
continued
25,636
St.
Joe
Company
$
1,099,784
86,836
Summit
Hotel
Properties,
Inc.
b
882,254
76,865
Tanger
Factory
Outlet
Centers,
Inc.
1,162,967
191,317
Uniti
Group,
Inc.
2,110,227
10,521
Universal
Health
Realty
Income
Trust
713,113
24,726
Urstadt
Biddle
Properties,
Inc.
411,688
69,462
Washington
REIT
1,535,110
32,801
Whitestone
REIT
318,170
93,471
Xenia
Hotels
&
Resorts,
Inc.
b
1,822,685
Total
63,486,981
Utilities
(1.4%)
30,310
American
States
Water
Company
2,292,042
56,898
Avista
Corporation
2,716,880
41,359
California
Water
Service
Group
2,330,166
14,353
Chesapeake
Utilities
Corporation
1,666,096
25,143
Northwest
Natural
Holding
Company
1,356,465
82,653
South
Jersey
Industries,
Inc.
1,866,305
Total
12,227,954
Total
Common
Stock
(cost
$550,614,961)
837,228,875
Shares
Collateral
Held
for
Securities
Loaned
(
3.0%
)
Value
25,601,910
Thrivent
Cash
Management
Trust
25,601,910
Total
Collateral
Held
for
Securities
Loaned
(cost
$25,601,910)
25,601,910
Shares
Registered
Investment
Companies
(
1.5%
)
Value
Unaffiliated  (1.5%)
116,065
iShares
Core
S&P
Small-Cap
ETF
12,596,534
Total
12,596,534
Total
Registered
Investment
Companies
(cost
$9,361,514)
12,596,534
Shares
or
Principal
Amount
Short-Term
Investments
(
0.1%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
100,000
0.020%,
6/16/2021
d,e
99,996
Thrivent
Core
Short-Term
Reserve
Fund
74,521
0.180%
745,215
Total
Short-Term
Investments
(cost
$845,210)
845,211
Total
Investments
(cost
$586,423,595)
102.9%
$876,272,530
Other
Assets
and
Liabilities,
Net
(2.9%)
(24,685,762)
Total
Net
Assets
100.0%
$851,586,768
a
All
or
a
portion
of
the
security
is
on
loan.
b
Non-income
producing
security.
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
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
25,265,696
Total
lending
$25,265,696
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$25,601,910
Net
amounts
due
to
counterparty
$336,214
Definitions:
ETF
-
Exchange
Traded
Fund
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
347
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
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
13,688,675
13,688,675
Consumer
Discretionary
134,896,723
134,896,723
Consumer
Staples
33,635,909
33,635,909
Energy
32,267,118
32,267,118
Financials
145,925,964
145,885,025
40,939
Health
Care
94,460,655
94,460,655
Industrials
148,491,538
148,491,538
Information
Technology
116,612,248
116,612,248
Materials
41,535,110
41,535,110
Real
Estate
63,486,981
63,486,981
Utilities
12,227,954
12,227,954
Registered
Investment
Companies
Unaffiliated
12,596,534
12,596,534
Short-Term
Investments
99,996
99,996
Subtotal
Investments
in
Securities
$849,925,405
$849,784,470
$99,996
$40,939
Other
Investments  *
Total
Affiliated
Short-Term
Investments
745,215
Collateral
Held
for
Securities
Loaned
25,601,910
Subtotal
Other
Investments
$26,347,125
Total
Investments
at
Value
$876,272,530
*
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
54,921
54,921
Total
Liability
Derivatives
$54,921
$54,921
$–
$–
The
following
table
presents
Small
Cap
Index
Portfolio's
futures
contracts
held
as
of
March
31,
2021.
Investments
and/or
cash
totaling
$99,996
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
10
June
2021
$
1,166,171
(
$
54,921)
Total
Futures
Long
Contracts
$
1,166,171
(
$
54,921)
Total
Futures
Contracts
$
1,166,171
($54,921)
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
348
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$484
$10,522
$10,261
$745
75
0.1%
Total
Affiliated
Short-Term
Investments
484
745
0.1
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
28,655
91,459
94,512
25,602
25,602
3.0
Total
Collateral
Held
for
Securities
Loaned
28,655
25,602
3.0
Total
Value
$29,139
$26,347
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$0
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$0
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
57
Total
Affiliated
Income
from
Securities
Loaned,
Net
$57
Total
Value
$–
$–
$–
Small
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
349
Shares
Common
Stock
(
99.2%
)
Value
Communications
Services
(1.5%)
657,782
QuinStreet,
Inc.
a
$
13,352,975
Total
13,352,975
Consumer
Discretionary
(10.9%)
220,365
Cedar
Fair,
LP
a
10,947,733
332,460
Cooper-Standard
Holdings,
Inc.
a
12,074,947
119,882
Crocs,
Inc.
a
9,644,507
291,920
Leggett
&
Platt,
Inc.
13,326,148
203,007
Miller
Industries,
Inc.
9,376,893
75,175
Sleep
Number
Corporation
a
10,786,861
285,038
Stoneridge,
Inc.
a
9,067,059
103,760
Texas
Roadhouse,
Inc.
a
9,954,734
204,575
Zumiez,
Inc.
a
8,776,268
Total
93,955,150
Consumer
Staples
(3.9%)
66,322
John
B.
Sanfilippo
&
Son,
Inc.
5,993,519
854,248
Primo
Water
Corporation
13,890,073
269,196
Turning
Point
Brands,
Inc.
14,043,955
Total
33,927,547
Energy
(2.2%)
245,687
Devon
Energy
Corporation
5,368,261
471,911
Helmerich
&
Payne,
Inc.
12,722,721
317,874
Nine
Energy
Service,
Inc.
a
731,110
Total
18,822,092
Financials
(21.2%)
271,398
Air
Lease
Corporation
13,298,502
242,058
Assured
Guaranty,
Ltd.
10,234,212
230,430
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
8,807,035
514,619
Bridgewater
Bancshares,
Inc.
a
8,311,097
354,003
Columbia
Banking
System,
Inc.
15,253,989
105,322
Evercore,
Inc.
13,875,120
685,782
Everi
Holdings,
Inc.
a
9,676,384
131,014
Glacier
Bancorp,
Inc.
7,478,279
370,049
Heartland
Financial
USA,
Inc.
18,598,663
196,757
James
River
Group
Holdings,
Ltd.
8,976,054
86,432
Primerica,
Inc.
12,776,378
309,674
Seacoast
Banking
Corporation
of
Florida
a
11,222,586
55,665
Selective
Insurance
Group,
Inc.
4,037,939
228,848
Synovus
Financial
Corporation
10,469,796
167,790
Triumph
Bancorp,
Inc.
a
12,985,268
181,744
Western
Alliance
Bancorp
17,163,904
Total
183,165,206
Health
Care
(9.2%)
150,343
AMN
Healthcare
Services,
Inc.
a
11,080,279
227,778
Ardelyx,
Inc.
a
1,507,891
78,557
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
5,369,371
200,628
Halozyme
Therapeutics,
Inc.
a
8,364,181
126,336
InMode,
Ltd.
a
9,142,936
304,138
Lantheus
Holdings,
Inc.
a
6,499,429
39,128
LHC
Group,
Inc.
a
7,481,665
190,061
Syneos
Health,
Inc.
a
14,416,127
181,407
Tactile
Systems
Technology,
Inc.
a
9,884,868
517,636
Viemed
Healthcare,
Inc.
a
5,238,476
Total
78,985,223
Industrials
(20.9%)
185,100
Altra
Industrial
Motion
Corporation
10,239,732
114,139
ASGN,
Inc.
a
10,893,426
Shares
Common
Stock
(99.2%)
Value
Industrials
(20.9%)
-
continued
413,424
Badger
Daylighting,
Ltd.
$
14,103,196
103,498
Crane
Company
9,719,497
107,977
Curtiss-Wright
Corporation
12,806,072
62,859
Encore
Wire
Corporation
4,219,725
135,778
Forward
Air
Corporation
12,058,444
164,496
Helios
Technologies,
Inc.
11,986,824
96,428
Lincoln
Electric
Holdings,
Inc.
11,854,858
160,506
Manpower,
Inc.
15,874,044
451,463
Meritor,
Inc.
a
13,282,042
63,655
Middleby
Corporation
a
10,550,816
261,051
NAPCO
Security
Technologies,
Inc.
a
9,092,406
377,483
Raven
Industries,
Inc.
14,468,923
100,185
Ritchie
Brothers
Auctioneers,
Inc.
5,865,832
157,325
WESCO
International,
Inc.
a
13,613,332
Total
180,629,169
Information
Technology
(13.4%)
74,188
Advanced
Energy
Industries,
Inc.
8,099,104
220,395
Agilysys,
Inc.
a
10,570,144
151,743
Axcelis
Technologies,
Inc.
a
6,235,120
139,589
BigCommerce
Holdings,
Inc.
a,b
8,068,244
133,935
Ciena
Corporation
a
7,328,923
152,048
Computer
Services,
Inc.
8,970,832
90,193
Dolby
Laboratories,
Inc.
8,903,853
34,415
Littelfuse,
Inc.
9,100,702
242,091
National
Instruments
Corporation
10,454,700
210,242
Nuance
Communications,
Inc.
a
9,174,961
87,358
Plexus
Corporation
a
8,022,959
744,962
TTM
Technologies,
Inc.
a
10,801,949
107,630
Workiva,
Inc.
a
9,499,424
Total
115,230,915
Materials
(7.3%)
330,884
Carpenter
Technology
Corporation
13,615,877
648,451
Element
Solutions,
Inc.
11,860,169
1,328,683
Ivanhoe
Mines,
Ltd.
a
6,840,598
174,478
UFP
Technologies,
Inc.
a
8,692,494
85,461
United
States
Lime
&
Minerals,
Inc.
11,426,990
173,104
W.
R.
Grace
&
Company
10,362,005
Total
62,798,133
Real
Estate
(6.5%)
55,712
Agree
Realty
Corporation
3,749,975
274,440
American
Campus
Communities,
Inc.
11,847,575
111,007
Colliers
International
Group,
Inc.
10,905,328
105,058
Healthcare
Realty
Trust,
Inc.
3,185,358
445,980
Independence
Realty
Trust,
Inc.
6,778,896
128,002
National
Storage
Affiliates
Trust
5,111,120
127,694
Rayonier,
Inc.
REIT
4,118,131
860,139
Sunstone
Hotel
Investors,
Inc.
a
10,717,332
Total
56,413,715
Utilities
(2.2%)
69,873
NorthWestern
Corporation
4,555,719
144,638
Portland
General
Electric
Company
6,865,966
96,246
Spire,
Inc.
7,111,617
Total
18,533,302
Total
Common
Stock
(cost
$582,441,812)
855,813,427
Small
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
350
Shares
Collateral
Held
for
Securities
Loaned
(
0.9%
)
Value
7,319,350
Thrivent
Cash
Management
Trust
$
7,319,350
Total
Collateral
Held
for
Securities
Loaned
(cost
$7,319,350)
7,319,350
Shares
Short-Term
Investments
(
0.9%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
805,687
0.180%
8,056,873
Total
Short-Term
Investments
(cost
$8,055,617)
8,056,873
Total
Investments
(cost
$597,816,779)
101.0%
$871,189,650
Other
Assets
and
Liabilities,
Net
(1.0%)
(8,832,864)
Total
Net
Assets
100.0%
$862,356,786
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
Small
Cap
Stock
Portfolio
as
of
March
31,
2021:
Securities
Lending
Transactions
Common
Stock
$
7,762,540
Total
lending
$7,762,540
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$7,319,350
Net
amounts
due
to
counterparty
$(443,190)
Definitions:
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Small
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
351
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
March
31,
2021,
in
valuing
Small
Cap
Stock
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
13,352,975
13,352,975
Consumer
Discretionary
93,955,150
93,955,150
Consumer
Staples
33,927,547
33,927,547
Energy
18,822,092
18,822,092
Financials
183,165,206
183,165,206
Health
Care
78,985,223
78,985,223
Industrials
180,629,169
166,525,973
14,103,196
Information
Technology
115,230,915
115,230,915
Materials
62,798,133
55,957,535
6,840,598
Real
Estate
56,413,715
56,413,715
Utilities
18,533,302
18,533,302
Subtotal
Investments
in
Securities
$855,813,427
$834,869,633
$20,943,794
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
8,056,873
Collateral
Held
for
Securities
Loaned
7,319,350
Subtotal
Other
Investments
$15,376,223
Total
Investments
at
Value
$871,189,650
*
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.  
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
12/31/2020
Gross
Purchases
Gross
Sales
Value
3/31/2021
Shares
Held
at
3/31/2021
%
of
Net
Assets
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$25,089
$57,415
$74,447
$8,057
806
0.9%
Total
Affiliated
Short-Term
Investments
25,089
8,057
0.9
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
21,115
64,963
78,759
7,319
7,319
0.9
Total
Collateral
Held
for
Securities
Loaned
21,115
7,319
0.9
Total
Value
$46,204
$15,376
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2021
-
3/31/2021
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.180%
$–
$–
$6
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$6
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
9
Total
Affiliated
Income
from
Securities
Loaned,
Net
$9
Total
Value
$–
$–
$–
Notes
to
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
352
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 obtained 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 at the
clearinghouse
end
of
day
price. 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
Portfolios'
Investment
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.
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
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.
Notes
to
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
353
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,
a
category
that
includes
options,
futures,
swaps,
foreign
currency
forward
contracts and
hybrid
instruments.
Derivatives
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 requirements
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
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
Notes
to
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
354
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
March
31,
2021,
Aggressive
Allocation,
Government
Bond,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
and
Moderately
Conservative
Allocation
used
options
on
mortgage
backed
securities
to
generate
income
and/or
manage
the
duration
of
the
Portfolio. 
During
the
period
ended
March
31,
2021,
Aggressive
Allocation,
Government
Bond,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
and
Moderately
Conservative
Allocation
used
options
on
interest
rate
futures
to hedge
interest
rate
risk and/or
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
March
31,
2021,
Aggressive
Allocation,
Balanced
Income
Plus,
Diversified
Income
Plus, Government
Bond,
High
Yield, Income, Limited
Maturity
Bond,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
Moderately
Conservative
Allocation, 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
March
31,
2021,
Aggressive
Allocation,
Balanced
Income
Plus,
Diversified
Income
Plus,
Global
Stock, International
Allocation,
International
Index,
Large
Cap Index,
Low
Volatility
Equity,
Mid
Cap
Index,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
Moderately
Conservative
Allocation,
and
Small
Cap
Index used
equity
futures
to
manage
exposure
to
the
equities
market.
During
the period
ended
March
31,
2021,
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
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 March
31,
2021,
no
portfolios
engaged
in
this
type
of
transaction.
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
Notes
to
Schedule
of
Investments
as
of
March
31,
2021
(unaudited)
355
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 increase
or
decrease 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.
Portfolios
buy
default
protection
in
order
to reduce
their
overall
credit
exposure
to
the
corporate
bond
and/or
loan
markets
in
a
cost-efficient
and
diversified
structure. 
If
a
default
event
as
specified
in
the
CDS
reference
entity
agreement
occurs,
the
Portfolio
has
the
option
to
receive
a
cash
payment
in
exchange
for
the
credit
loss
of
the
reference
entity
obligation
as
of
the
date
of
the
credit
event. A
realized
gain
or
loss
is
recorded
upon
a
default
event
or
the
maturity
or
termination
of
the
CDS
agreement.   
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
could
include
a
reduction
in
interest
or
principal,
maturity
extension and
subordination
to
other
obligations.
During
the period
ended
March
31,
2021, High
Yield used
CDX
indices
(comprised
of
credit
default
swaps)
to
help
manage
credit
risk
exposure
within
the
Portfolio.
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.
    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.