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Y41053102 26401.00000000 NS USD 1188045.00000000 0.013468947610 Long EC CORP MH N 1 N N N JEFFERIES FIN LLC / JFIN N/A Jefferies Finance, LLC/JFIN Co-Issuer Corporation 47232MAF9 137000.00000000 PA USD 115354.85000000 0.001307785842 Long DBT CORP US N 2 2028-08-15 Fixed 5.00000000 N N N N N N CHS/COMMUNITY HEALTH SYS 5493007X5NC5XI1BB106 CHS/Community Health Systems, Inc. 12543DBM1 209000.00000000 PA USD 158876.89000000 0.001801198193 Long DBT CORP US N 2 2030-05-15 Fixed 5.25000000 N N N N N N Global Net Lease Inc & Global Net Lease Operating Partnership L P N/A Global Net Lease, Inc./Global Net Lease Operating Partnership, LP 37892AAA8 645000.00000000 PA USD 499388.00000000 0.005661595991 Long DBT CORP US N 2 2027-12-15 Fixed 3.75000000 N N N N N N Pacira Pharmaceuticals Inc N/A Pacira Pharmaceuticals, Inc. 695127100 12521.00000000 NS USD 384144.28000000 0.004355070037 Long EC CORP US N 1 N N N Energy Transfer Partners L P MTLVN9N7JE8MIBIJ1H73 Energy Transfer, LP 29273RAT6 800000.00000000 PA USD 635751.58000000 0.007207559246 Long DBT CORP US N 2 2043-02-01 Fixed 5.15000000 N N N N N N ALTICE FRANCE SA 5493001ZMCICV4N02J21 Altice France SA/France, Term Loan N/A 1360031.50000000 PA USD 1227768.44000000 0.013919294973 Long DBT CORP US N 2 2028-08-31 Floating 10.80800000 N N N N N N SHIFT4 PAYMENTS LLC/FIN N/A Shift4 Payments, LLC/Shift4 Payments Finance Sub, Inc. 82453AAA5 190000.00000000 PA USD 179143.40000000 0.002030961006 Long DBT CORP US N 2 2026-11-01 Fixed 4.62500000 N N N N N N BECTON DICKINSON & CO ICE2EP6D98PQUILVRZ91 Becton, Dickinson and Company 075887CK3 324000.00000000 PA USD 233438.38000000 0.002646506917 Long DBT CORP US N 2 2050-05-20 Fixed 3.79400000 N N N N N N Magellan Midstream Partners Lp MZF5TI8NFVZZNUSKDL39 Magellan Midstream Partners, LP 559080AK2 603000.00000000 PA USD 591832.07000000 0.006709640750 Long DBT CORP US N 2 2026-03-01 Fixed 5.00000000 N N N N N N Carval CLO LTD 254900NZG2CMHKHNPU97 CarVal CLO VIII-C, Ltd. 14686NAA9 1750000.00000000 PA USD 1759630.25000000 0.019949048774 Long ABS-O CORP US N 2 2035-10-22 Floating 7.64560000 N N N N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Bonds 912810QW1 1340000.00000000 PA USD 1025466.41000000 0.011625782990 Long DBT UST US N 2 2042-05-15 Fixed 3.00000000 N N N N N N ROYAL CARIBBEAN CRUISES K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises, Ltd. 780153BT8 163000.00000000 PA USD 161548.03000000 0.001831481090 Long DBT CORP LR N 2 2030-01-15 Fixed 7.25000000 N N N N N N Burlington Northern Santa Fe Llc N/A Burlington Northern Santa Fe, LLC 12189LAA9 608000.00000000 PA USD 603576.64000000 0.006842789745 Long DBT CORP US N 2 2040-05-01 Fixed 5.75000000 N N N N N N KOHL'S CORPORATION 549300JF6LPRTRJ0FH50 Kohl's Corporation 500255AX2 584000.00000000 PA USD 392471.36000000 0.004449474713 Long DBT CORP US N 2 2031-05-01 Fixed 4.62500000 N N N N N N SYNCHRONY FINANCIAL 549300RS7EWPM9MA6C78 Synchrony Financial 87165BAU7 87000.00000000 PA USD 76787.23000000 0.000870542090 Long DBT CORP US N 2 2033-02-02 Fixed 7.25000000 N N N N N N Nep Group Inc N/A NEP Group, Inc., Term Loan N/A 434042.62000000 PA USD 418582.02000000 0.004745493056 Long DBT CORP US N 2 2025-10-20 Floating 8.68060000 N N N N N N First Industrial Realty Trust Inc N/A First Industrial Realty Trust, Inc. 32054K103 33776.00000000 NS USD 1607399.84000000 0.018223202180 Long EC CORP US N 1 N N N NORDSON CORP 14OS6Q5N55N95WM84M53 Nordson Corporation 655663AA0 615000.00000000 PA USD 609095.64000000 0.006905359026 Long DBT CORP US N 2 2028-09-15 Fixed 5.60000000 N N N N N N United States Department of The Treasury 254900HROIFWPRGM1V77 U.S. Treasury Bonds 912810RS9 68726000.00000000 PA USD 46032997.12000000 0.521879244117 Long DBT UST US N 2 2046-05-15 Fixed 2.50000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association - REMIC 3136BPAC5 8261940.88000000 PA USD 8128090.83000000 0.092148722956 Long ABS-CBDO USGSE US N 2 2039-07-25 Fixed 5.25000000 N N N N N N Ppl Electric Utils Corp 549300GCZLSGYEYPIR35 PPL Electric Utilities Corporation 69351UAU7 547000.00000000 PA USD 413980.20000000 0.004693321907 Long DBT CORP US N 2 2047-06-01 Fixed 3.95000000 N N N N N N Omnicom Group Inc HKUPACFHSSASQK8HLS17 Omnicom Group, Inc. 681919106 1637.00000000 NS USD 121923.76000000 0.001382258025 Long EC CORP US N 1 N N N ELI LILLY & CO FRDRIPF3EKNDJ2CQJL29 Eli Lilly & Company 532457CH9 459000.00000000 PA USD 416438.60000000 0.004721192956 Long DBT CORP US N 2 2063-02-27 Fixed 4.95000000 N N N N N N Expeditors International Washington Inc 984500B055A804AB6E40 Expeditors International of Washington, Inc. 302130109 4103.00000000 NS USD 470326.89000000 0.005332128194 Long EC CORP US N 1 N N N Lexington Realty Tr 549300S4MH2ICXDBFV43 LXP Industrial Trust 529043101 133309.00000000 NS USD 1186450.10000000 0.013450866120 Long EC CORP US N 1 N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association Conventional 40-Yr. Pass Through 3140FXUH3 8328044.13600000 PA USD 7417010.24000000 0.084087153560 Long ABS-MBS USGSE US N 2 2061-12-01 Fixed 4.00000000 N N N N N N MICROSOFT CORP INR2EJN1ERAN0W5ZP974 Microsoft Corporation 594918104 385374.00000000 NS USD 121681840.50000100 1.379515367582 Long EC CORP US N 1 N N N Insight Enterprises Inc 529900S8991TYW6YP792 Insight Enterprises, Inc. 45765U103 752.00000000 NS USD 109416.00000000 0.001240456692 Long EC CORP US N 1 N N N Colgate PalmolIVe Co YMEGZFW4SBUSS5BQXF88 Colgate-Palmolive Company 194162103 56341.00000000 NS USD 4006408.51000000 0.045420927935 Long EC CORP US N 1 N N N Datadog Inc 549300F6JNO0KRPO1K63 Datadog, Inc. 23804L103 4816.00000000 NS USD 438689.44000000 0.004973452255 Long EC CORP US N 1 N N N VOLKSWAGEN GROUP AMERICA 5493002SQ1AVQBY41K40 Volkswagen Group of America Finance, LLC 928668BS0 792000.00000000 PA USD 753661.10000000 0.008544307557 Long DBT CORP US N 2 2027-06-08 Fixed 4.35000000 N N N N N N DIRECTV FINANCING LLC N/A DIRECTV Financing, LLC, Term Loan N/A 1476270.32000000 PA USD 1441002.22000000 0.016336740955 Long DBT CORP US N 2 2027-08-02 Floating 10.43060000 N N N N N N MORGAN STANLEY IGJSJL3JD5P30I6NJZ34 Morgan Stanley 61747YES0 1076000.00000000 PA USD 958733.11000000 0.010869222993 Long DBT CORP US N 2 2037-04-20 Variable 5.29700000 N N N N N N HCA INC L3CJ6J7LJ2DX62FTXD46 HCA, Inc. 404119CA5 1059000.00000000 PA USD 895941.02000000 0.010157344764 Long DBT CORP US N 2 2030-09-01 Fixed 3.50000000 N N N N N N Hometrust Bancshares Inc N/A Hometrust Bancshares, Inc. 437872104 17432.00000000 NS USD 377751.44000000 0.004282593971 Long EC CORP US N 1 N N N First Ctzns Bancshares Inc Del 549300N3Z00ZHE2XC526 First Citizens BancShares, Inc./NC 31946M103 164.00000000 NS USD 226336.40000000 0.002565991283 Long EC CORP US N 1 N N N Dish Network Corp 529900U350CWHH15G169 DISH Network Corporation 25470M109 20205.00000000 NS USD 118401.30000000 0.001342323655 Long EC CORP US N 1 N N N Australia & New Zealand Bkggroup Ltd JHE42UYNWWTJB8YTTU19 Australia & New Zealand Banking Group, Ltd. 052528AL0 700000.00000000 PA USD 649805.82000000 0.007366893128 Long DBT CORP AU N 2 2030-07-22 Variable 2.95000000 N N N N N N FRTKL N/A FRTKL Trust 30322DAE9 3050000.00000000 PA USD 2648751.76000000 0.030029080286 Long ABS-O CORP US N 2 2038-09-17 Fixed 1.92200000 N N N N N N Manpowergroup Inc Wis ERO1WSFOSR0JJ6CRQ987 ManpowerGroup, Inc. 56418H100 3859.00000000 NS USD 282941.88000000 0.003207731490 Long EC CORP US N 1 N N N J2 Global Inc 5493008OJYGLHD7MXA18 Ziff Davis, Inc. 48123V102 66339.00000000 NS USD 4225130.91000000 0.047900598778 Long EC CORP US N 1 N N N SIMMONS FOOD INC/SIMMONS N/A Simmons Foods, Inc. 82873MAA1 393000.00000000 PA USD 322387.73000000 0.003654931796 Long DBT CORP US N 2 2029-03-01 Fixed 4.62500000 N N N N N N Motorola Solutions Inc 6S552MUG6KGJVEBSEC55 Motorola Solutions, Inc. 620076307 577.00000000 NS USD 157082.48000000 0.001780854844 Long EC CORP US N 1 N N N Clarus Corporation New 549300PKSLI6PT0ULL72 Clarus Corporation 18270P109 226316.00000000 NS USD 1710948.96000000 0.019397145652 Long EC CORP US N 1 N N N Msci Inc 549300HTIN2PD78UB763 MSCI, Inc. 55354G100 9753.00000000 NS USD 5004069.24000000 0.056731476025 Long EC CORP US N 1 N N N VERIZON COMMUNICATIONS INC 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343V104 342056.00000000 NS USD 11086034.96000000 0.125683138338 Long EC CORP US N 1 N N N United Bankshares Inc W Va 5299005O3BAMJ9Z92V62 United Bankshares, Inc. 909907107 8305.00000000 NS USD 229134.95000000 0.002597718636 Long EC CORP US N 1 N N N NECESS RETAIL/AFIN OP LP N/A Necessity Retail REIT, Inc./American Finance Operating Partner, LP 02608AAA7 409000.00000000 PA USD 310668.22000000 0.003522066907 Long DBT CORP US N 2 2028-09-30 Fixed 4.50000000 N N N N N N Access Group Inc N/A Access Group, Inc. 00434QAA6 157897.83000000 PA USD 155116.95000000 0.001758571496 Long ABS-O CORP US N 2 2036-02-25 Floating 5.92943000 N N N N N N Mfrs & Traders Trust Company Bank Note Program WWB2V0FCW3A0EE3ZJN75 Manufacturers & Traders Trust Company 55279HAW0 923000.00000000 PA USD 852438.99000000 0.009664159268 Long DBT CORP US N 2 2028-01-27 Fixed 4.70000000 N N N N N N Chesapeake Energy Corp X2MT1W32SPAZ9WSKLE78 Chesapeake Energy Corporation 165167735 3188.00000000 NS USD 274901.24000000 0.003116574203 Long EC CORP US N 1 N N N Ameren Illinois Co RC71E2BZ6UOMFPDJSE79 Ameren Illinois Company 02361DAT7 830000.00000000 PA USD 684040.57000000 0.007755014836 Long DBT CORP US N 2 2049-03-15 Fixed 4.50000000 N N N N N N MORGAN STANLEY IGJSJL3JD5P30I6NJZ34 Morgan Stanley 6174468P7 1600000.00000000 PA USD 1378357.94000000 0.015626538458 Long DBT CORP US N 2 2031-04-01 Variable 3.62200000 N N N N N N Thrivent Mutual Funds 549300ONMNEN0B15WO97 Thrivent Small Cap Stock Portfolio 88589M170 9521735.81600000 NS USD 151895490.60000100 1.722049590047 Long RF US N 1 N N N Hershey Co 21X2CX66SU2BR6QTAD08 Hershey Company 427866108 427.00000000 NS USD 85434.16000000 0.000968572928 Long EC CORP US N 1 N N N HSBC HOLDINGS PLC MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280DA4 1100000.00000000 PA USD 1048255.91000000 0.011884149114 Long DBT CORP GB N 2 2026-03-10 Variable 2.99900000 N N N N N N Altria Group Inc XSGZFLO9YTNO9VCQV219 Altria Group, Inc. 02209S103 80691.00000000 NS USD 3393056.55000000 0.038467314716 Long EC CORP US N 1 N N N Trimble Navigation Ltd 549300E2MI7NSZFQWS19 Trimble, Inc. 896239100 3608.00000000 NS USD 194326.88000000 0.002203097160 Long EC CORP US N 1 N N N International Bancshares Corp 549300Y16R531AU8TX77 International Bancshares Corporation 459044103 1650.00000000 NS USD 71511.00000000 0.000810725109 Long EC CORP US N 1 N N N CCO HLDGS LLC/CAP CORP N/A CCO Holdings, LLC/CCO Holdings Capital Corporation 1248EPCS0 634000.00000000 PA USD 591183.06000000 0.006702282879 Long DBT CORP US N 2 2029-09-01 Fixed 6.37500000 N N N N N N 2023-10-27 Thrivent Series Fund, Inc. Sarah L. Bergstrom Sarah L. Bergstrom Treasurer and Principal Accounting Officer XXXX NPORT-EX 2 thrivent_RF78.htm 9/29/2023 SCHEDULE OF INVESTMENTS
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
1
Shares
Common
Stock
(
45.3%
)
Value
Communications
Services
(3.2%)
19,265
Alphabet,
Inc.,
Class
A
a
$
2,521,018
168,263
Alphabet,
Inc.,
Class
C
a
22,185,476
10,868
Altice
USA,
Inc.
a
35,538
5,612
AMC
Networks,
Inc.
a
66,109
2,230
Bumble,
Inc.
a
33,272
45
Cable
One,
Inc.
27,704
59,290
Cargurus,
Inc.
a
1,038,761
94,924
Comcast
Corporation
4,208,930
63,083
DISH
Network
Corporation
a
369,666
454
Electronic
Arts,
Inc.
54,662
6,237
Emerald
Holding,
Inc.
a
28,191
2,175
Entravision
Communications
Corporation
7,939
8,648
Frontier
Communications
Parent,
Inc.
a
135,341
13,680
iHeartMedia,
Inc.
a
43,229
3,621
Imax
Corporation
a
69,958
11,604
Integral
Ad
Science
Holding
Corporation
a
137,972
4,052
Interpublic
Group
of
Companies,
Inc.
116,130
9,105
Liberty
Global
plc,
Class
A
a
155,878
25,572
Liberty
Global
plc,
Class
C
a
474,616
6,347
Liberty
Latin
America,
Ltd.,
Class
A
a
51,791
3,081
Live
Nation
Entertainment,
Inc.
a
255,846
73,888
Lumen
Technologies,
Inc.
a,b
104,921
2,301
Match
Group,
Inc.
a
90,142
41,186
Meta
Platforms,
Inc.
a
12,364,449
7,606
Netflix,
Inc.
a
2,872,026
752
Omnicom
Group,
Inc.
56,009
146,271
QuinStreet,
Inc.
a
1,312,051
789
Shutterstock,
Inc.
30,021
2,521
Sinclair,
Inc.
28,286
1,880
TechTarget,
Inc.
a
57,077
4,316
Telephone
and
Data
Systems,
Inc.
79,026
17,088
Trade
Desk,
Inc.
a
1,335,427
1,039
Tripadvisor,
Inc.
a
17,227
135,141
Verizon
Communications,
Inc.
4,379,920
14,371
Walt
Disney
Company
a
1,164,769
103,051
Warner
Brothers
Discovery,
Inc.
a
1,119,134
151
Yelp,
Inc.
a
6,280
40,129
Ziff
Davis,
Inc.
a
2,555,816
Total
59,590,608
Consumer
Discretionary
(5.1%)
4,359
2U,
Inc.
a
10,767
114
Adient
plc
a
4,184
151,367
Amazon.com,
Inc.
a
19,241,773
838
American
Axle
&
Manufacturing
Holdings,
Inc.
a
6,084
11,354
American
Eagle
Outfitters,
Inc.
188,590
44,250
Aptiv
plc
a
4,362,608
4,804
Autoliv,
Inc.
463,490
82
AutoNation,
Inc.
a
12,415
1,274
Beazer
Homes
USA,
Inc.
a
31,735
1,609
Best
Buy
Company,
Inc.
111,777
1,048
Booking
Holdings,
Inc.
a
3,231,980
16,358
Boot
Barn
Holdings,
Inc.
a
1,328,106
1,349
Brunswick
Corporation
106,571
2,723
Buckle,
Inc.
90,921
16,101
Cedar
Fair,
LP
595,737
88
Cheesecake
Factory,
Inc.
2,666
557
Chegg,
Inc.
a
4,968
1,606
Chipotle
Mexican
Grill,
Inc.
a
2,941,919
Shares
Common
Stock
(45.3%)
Value
Consumer
Discretionary
(5.1%)
-
continued
125,112
Clarus
Corporation
$
945,847
18,846
Columbia
Sportswear
Company
1,396,489
3,846
Container
Store
Group,
Inc.
a
8,653
40,101
Cooper-Standard
Holdings,
Inc.
a
538,155
8,793
Crocs,
Inc.
a
775,806
1,475
Culp,
Inc.
a
8,230
12,893
D.R.
Horton,
Inc.
1,385,611
10,937
Dana,
Inc.
160,446
2,112
Darden
Restaurants,
Inc.
302,481
2,600
Deckers
Outdoor
Corporation
a
1,336,634
8,662
Domino's
Pizza,
Inc.
3,281,079
365
Dorman
Products,
Inc.
a
27,652
4,442
eBay,
Inc.
195,848
1,505
Etsy,
Inc.
a
97,193
144,048
Everi
Holdings,
Inc.
a
1,904,315
1,073
Expedia
Group,
Inc.
a
110,594
16,038
Five
Below,
Inc.
a
2,580,514
1,945
Ford
Motor
Company
24,157
19,364
Fox
Factory
Holding
Corporation
a
1,918,585
10,054
Gap,
Inc.
106,874
22,434
General
Motors
Company
739,649
6,226
Gentex
Corporation
202,594
6,443
Goodyear
Tire
&
Rubber
Company
a
80,086
3,574
Grand
Canyon
Education,
Inc.
a
417,729
2,028
Green
Brick
Partners,
Inc.
a
84,182
9,249
Harley-Davidson,
Inc.
305,772
9,063
Hilton
Worldwide
Holdings,
Inc.
1,361,081
24,007
Home
Depot,
Inc.
7,253,955
181
Hyatt
Hotels
Corporation
19,200
741
KB
Home
34,293
11,430
Laureate
Education,
Inc.
161,163
1,602
La-Z-Boy,
Inc.
49,470
3,767
Lear
Corporation
505,531
1,326
Lennar
Corporation
148,817
13,948
Lowe's
Companies,
Inc.
2,898,952
4,577
Lululemon
Athletica,
Inc.
a
1,764,937
1,051
M/I
Homes,
Inc.
a
88,326
112
Malibu
Boats,
Inc.
a
5,490
671
Marriott
International,
Inc./MD
131,892
144
Marriott
Vacations
Worldwide
Corporation
14,491
4,540
McDonald's
Corporation
1,196,018
8,105
Meritage
Homes
Corporation
991,971
5,697
MGM
Resorts
International
209,422
334
Modine
Manufacturing
Company
a
15,280
5,395
Mohawk
Industries,
Inc.
a
462,945
8,696
Nordstrom,
Inc.
b
129,918
477
NVR,
Inc.
a
2,844,494
1,095
ODP
Corporation
a
50,534
3,503
O'Reilly
Automotive,
Inc.
a
3,183,737
22,888
Papa
John's
International,
Inc.
1,561,419
3,086
PENN
Entertainment,
Inc.
a
70,824
2,824
Playa
Hotels
and
Resorts
NV
a
20,446
2,818
Polaris,
Inc.
293,467
3,558
Pool
Corporation
1,267,004
1,740
PulteGroup,
Inc.
128,847
30,981
Qurate
Retail,
Inc.
a
18,793
3,929
Ross
Stores,
Inc.
443,781
4,596
SeaWorld
Entertainment,
Inc.
a
212,565
943
Six
Flags
Entertainment
Corporation
a
22,170
24,537
Skyline
Champion
Corporation
a
1,563,498
22,224
Sonos,
Inc.
a
286,912
20,631
Sony
Group
Corporation
ADR
1,700,201
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
2
Shares
Common
Stock
(45.3%)
Value
Consumer
Discretionary
(5.1%)
-
continued
81,886
Stoneridge,
Inc.
a
$
1,643,452
388
Taylor
Morrison
Home
Corporation
a
16,533
33,674
Tesla,
Inc.
a
8,425,908
152,349
ThredUp,
Inc.
a
610,919
276
TopBuild
Corporation
a
69,442
7,259
Travel
+
Leisure
Company
266,623
12
Ulta
Beauty,
Inc.
a
4,793
3,557
Upbound
Group,
Inc.
104,754
3,567
Urban
Outfitters,
Inc.
a
116,605
130
Vail
Resorts,
Inc.
28,846
326
Visteon
Corporation
a
45,011
11,442
Wendy's
Company
233,531
4,865
Wingstop,
Inc.
874,922
12,563
Wyndham
Hotels
&
Resorts,
Inc.
873,631
Total
96,098,280
Consumer
Staples
(2.3%)
19,390
Altria
Group,
Inc.
815,350
3,298
Archer-Daniels-Midland
Company
248,735
37,487
BJ's
Wholesale
Club
Holdings,
Inc.
a
2,675,447
307
Boston
Beer
Company,
Inc.
a
119,586
791
Cal-Maine
Foods,
Inc.
38,300
8,566
Casey's
General
Stores,
Inc.
2,325,840
14,603
Celsius
Holdings,
Inc.
a
2,505,875
40,718
Coca-Cola
Company
2,279,394
13,498
Colgate-Palmolive
Company
959,843
131,318
Coty,
Inc.
a
1,440,558
1,136
Darling
Ingredients,
Inc.
a
59,299
16,218
e.l.f.
Beauty,
Inc.
a
1,781,223
9,679
Flowers
Foods,
Inc.
214,680
615
Hain
Celestial
Group,
Inc.
a
6,378
196
Hershey
Company
39,216
4,623
Hormel
Foods
Corporation
175,813
877
Ingredion,
Inc.
86,297
6,262
J
&
J
Snack
Foods
Corporation
1,024,776
7,327
John
B.
Sanfilippo
&
Son,
Inc.
723,908
50,524
Kenvue,
Inc.
1,014,522
12,365
Kimberly-Clark
Corporation
1,494,310
3,463
Kroger
Company
154,969
18,472
Lamb
Weston
Holdings,
Inc.
1,707,921
11,010
Lancaster
Colony
Corporation
1,816,980
14,442
Mondelez
International,
Inc.
1,002,275
376
PepsiCo,
Inc.
63,709
33,399
Philip
Morris
International,
Inc.
3,092,079
23,880
Pilgrim's
Pride
Corporation
a
545,180
331
PriceSmart,
Inc.
24,636
51,143
Primo
Water
Corporation
705,773
6,560
Procter
&
Gamble
Company
956,842
50
Seneca
Foods
Corporation
a
2,692
1,896
Simply
Good
Foods
Company
a
65,450
850
SpartanNash
Company
18,700
25,533
Sysco
Corporation
1,686,455
58,388
Turning
Point
Brands,
Inc.
1,348,179
10,954
Tyson
Foods,
Inc.
553,067
44,730
US
Foods
Holding
Corporation
a
1,775,781
42,707
Walmart,
Inc.
6,830,131
Total
42,380,169
Energy
(2.0%)
7,815
APA
Corporation
321,196
40,124
BP
plc
ADR
1,553,601
1,008
Cactus,
Inc.
50,612
1,312
California
Resources
Corporation
73,485
2,662
Cheniere
Energy,
Inc.
441,785
Shares
Common
Stock
(45.3%)
Value
Energy
(2.0%)
-
continued
9,953
Chesapeake
Energy
Corporation
$
858,247
7,696
Chevron
Corporation
1,297,700
675
Chord
Energy
Corporation
109,397
128
Civitas
Resources,
Inc.
10,351
622
Comstock
Resources,
Inc.
6,861
26,545
ConocoPhillips
3,180,091
1,149
CVR
Energy,
Inc.
39,100
38,140
Devon
Energy
Corporation
1,819,278
79,735
Enterprise
Products
Partners,
LP
2,182,347
812
Evolution
Petroleum
Corporation
5,554
37,515
Exxon
Mobil
Corporation
4,411,014
2,017
Gran
Tierra
Energy,
Inc.
a
13,998
92,546
Halliburton
Company
3,748,113
1,651
Helmerich
&
Payne,
Inc.
69,606
3,716
HF
Sinclair
Corporation
211,552
5,542
International
Seaways,
Inc.
249,390
18,413
Liberty
Energy,
Inc.
341,009
3,115
Magnolia
Oil
&
Gas
Corporation
71,365
4,063
Marathon
Oil
Corporation
108,685
19,471
Marathon
Petroleum
Corporation
2,946,741
28,593
Matador
Resources
Company
1,700,712
3,774
Murphy
Oil
Corporation
171,151
78,562
NOV,
Inc.
1,641,946
820
ONEOK,
Inc.
52,013
5,483
Ovintiv,
Inc.
260,826
6,356
Par
Pacific
Holdings,
Inc.
a
228,435
1,720
Patterson-UTI
Energy,
Inc.
23,805
3,242
PBF
Energy,
Inc.
173,544
6,708
Phillips
66
805,966
18,082
Pioneer
Natural
Resources
Company
4,150,723
20,334
ProPetro
Holding
Corporation
a
216,150
9,055
RPC,
Inc.
80,952
5,420
SM
Energy
Company
214,903
1,121
Solaris
Oilfield
Infrastructure,
Inc.
11,950
13,054
Talos
Energy,
Inc.
a
214,608
156,429
TechnipFMC
plc
3,181,766
6,177
U.S.
Silica
Holdings,
Inc.
a
86,725
10,936
Viper
Energy
Partners,
LP
304,896
5,005
Williams
Companies,
Inc.
168,618
Total
37,810,767
Financials
(6.5%)
11,348
Allstate
Corporation
1,264,281
59,843
Ally
Financial,
Inc.
1,596,611
4,276
Amalgamated
Financial
Corporation
73,633
1,336
Amerant
Bancorp,
Inc.
23,300
23,958
American
Express
Company
3,574,294
1,098
American
Financial
Group,
Inc.
122,614
29,381
American
International
Group,
Inc.
1,780,489
9,481
Ameriprise
Financial,
Inc.
3,125,696
408
Ameris
Bancorp
15,663
6,533
Annaly
Capital
Management,
Inc.
122,886
68
Apollo
Global
Management,
Inc.
6,104
18,212
Arch
Capital
Group,
Ltd.
a
1,451,679
7,033
Arthur
J.
Gallagher
&
Company
1,603,032
1,922
Artisan
Partners
Asset
Management,
Inc.
71,921
5,660
Associated
Banc-Corp
96,843
535
Assurant,
Inc.
76,815
1,338
Assured
Guaranty,
Ltd.
80,976
291
Atlantic
Union
Bankshares
Corporation
8,375
513
Axis
Capital
Holdings,
Ltd.
28,918
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
3
Shares
Common
Stock
(45.3%)
Value
Financials
(6.5%)
-
continued
208
Axos
Financial,
Inc.
a
$
7,875
4,840
Banc
of
California,
Inc.
59,919
106,571
Bank
of
America
Corporation
2,917,914
722
Bank
of
Hawaii
Corporation
35,876
2,818
Bank
of
Marin
Bancorp
51,513
16,852
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
456,352
54,432
Bank
of
New
York
Mellon
Corporation
2,321,525
1,244
Bank
OZK
46,115
1,433
BankFinancial
Corporation
12,352
3,393
BankUnited,
Inc.
77,021
2,742
Banner
Corporation
116,206
459
BayCom
Corporation
8,817
2,681
BCB
Bancorp,
Inc.
29,866
5,977
Berkshire
Hathaway,
Inc.
a
2,093,743
3,103
Berkshire
Hills
Bancorp,
Inc.
62,215
1,008
BlackRock,
Inc.
651,662
2,112
Block,
Inc.
a
93,477
171
BOK
Financial
Corporation
13,677
39,553
Bridgewater
Bancshares,
Inc.
a
374,962
2,698
Brighthouse
Financial,
Inc.
a
132,040
4,487
Brookline
Bancorp,
Inc.
40,877
2,075
Business
First
Bancshares,
Inc.
38,927
10,645
Byline
Bancorp,
Inc.
209,813
2,182
Cadence
Bank
46,302
12,090
Capital
One
Financial
Corporation
1,173,334
12,687
Carlyle
Group,
Inc.
382,640
383
Cathay
General
Bancorp
13,313
12,123
Central
Pacific
Financial
Corporation
202,212
246
Central
Valley
Community
Bancorp
3,471
27,379
Charles
Schwab
Corporation
1,503,107
13,961
Chubb,
Ltd.
2,906,401
8,709
Cincinnati
Financial
Corporation
890,844
8,402
Citigroup,
Inc.
345,574
10,131
Citizens
Financial
Group,
Inc.
271,511
2,056
CNB
Financial
Corporation
37,234
6,885
Columbia
Banking
System,
Inc.
139,765
33,133
Comerica,
Inc.
1,376,676
1,712
Commerce
Bancshares,
Inc.
82,142
320
Community
Bank
System,
Inc.
13,507
4,446
Community
Trust
Bancorp,
Inc.
152,320
2,005
ConnectOne
Bancorp,
Inc.
35,749
886
CrossFirst
Bankshares,
Inc.
a
8,940
859
Cullen/Frost
Bankers,
Inc.
78,349
1,864
Customers
Bancorp,
Inc.
a
64,215
1,273
CVB
Financial
Corporation
21,094
6,760
Dime
Community
Bancshares,
Inc.
134,930
11,057
Discover
Financial
Services
957,868
5,568
Eagle
Bancorp,
Inc.
119,434
3,167
East
West
Bancorp,
Inc.
166,933
841
Eastern
Bankshares,
Inc.
10,546
4,556
Ellington
Residential
Mortgage
REIT
28,293
1,110
Employers
Holdings,
Inc.
44,344
2,082
Enova
International,
Inc.
a
105,911
1,926
Enterprise
Financial
Services
Corporation
72,225
1,095
Equity
Bancshares,
Inc.
26,357
668
Euronet
Worldwide,
Inc.
a
53,026
111
EVERTEC,
Inc.
4,127
4,310
F.N.B.
Corporation
46,505
5,910
FactSet
Research
Systems,
Inc.
2,584,207
26,608
Federated
Hermes,
Inc.
901,213
Shares
Common
Stock
(45.3%)
Value
Financials
(6.5%)
-
continued
3,745
Fidelity
National
Information
Services,
Inc.
$
206,986
2,795
Fifth
Third
Bancorp
70,797
3,012
Financial
Institutions,
Inc.
50,692
1,595
First
Bancorp/Puerto
Rico
21,469
75
First
Citizens
BancShares,
Inc./NC
103,507
744
First
Commonwealth
Financial
Corporation
9,084
200
First
Financial
Bancorp
3,920
1,346
First
Financial
Bankshares,
Inc.
33,812
1,325
First
Financial
Corporation
44,798
6,658
First
Foundation,
Inc.
40,481
618
First
Hawaiian,
Inc.
11,155
18,605
First
Horizon
Corporation
205,027
1,379
First
Internet
Bancorp
22,354
363
First
Interstate
BancSystem,
Inc.
9,053
1,056
First
Merchants
Corporation
29,378
576
First
Mid-Illinois
Bancshares,
Inc.
15,299
2,868
First
of
Long
Island
Corporation
33,011
4,000
Fiserv,
Inc.
a
451,840
203
Five
Star
Bancorp
4,072
1,099
FleetCor
Technologies,
Inc.
a
280,619
3,886
Flushing
Financial
Corporation
51,023
6,851
Fulton
Financial
Corporation
82,966
7,469
Genworth
Financial,
Inc.
a
43,768
11,839
Glacier
Bancorp,
Inc.
337,412
1,256
Global
Life,
Inc.
136,565
3,572
Global
Payments,
Inc.
412,173
2,599
Great
Southern
Bancorp,
Inc.
124,544
2,043
Green
Dot
Corporation
a
28,459
13,290
Hamilton
Lane,
Inc.
1,201,948
789
Hancock
Whitney
Corporation
29,185
11,849
Hanmi
Financial
Corporation
192,309
1,566
Hanover
Insurance
Group,
Inc.
173,795
4,033
Hartford
Financial
Services
Group,
Inc.
285,980
27,994
Heartland
Financial
USA,
Inc.
823,863
10,453
Heritage
Commerce
Corporation
88,537
7,580
Heritage
Financial
Corporation
123,630
2,334
Home
BancShares,
Inc.
48,874
4,565
HomeStreet,
Inc.
b
35,561
3,744
Hometrust
Bancshares,
Inc.
81,132
24,701
Hope
Bancorp,
Inc.
218,604
4,488
Horizon
Bancorp,
Inc.
47,932
28,580
Houlihan
Lokey,
Inc.
3,061,490
12,003
Huntington
Bancshares,
Inc.
124,831
1,456
Independent
Bank
Corporation
71,475
3,749
Independent
Bank
Corporation/MI
68,757
48,371
Intercontinental
Exchange,
Inc.
5,321,777
315
International
Bancshares
Corporation
13,652
6,668
Invesco
Mortgage
Capital,
Inc.
66,747
14,173
Invesco,
Ltd.
205,792
50,369
J.P.
Morgan
Chase
&
Company
7,304,512
612
Jack
Henry
&
Associates,
Inc.
92,498
16,713
Janus
Henderson
Group
plc
431,530
2,293
Kearny
Financial
Corporation/MD
15,890
5,758
KeyCorp
61,956
17,761
Kinsale
Capital
Group,
Inc.
7,355,363
2,513
Lazard,
Ltd.
77,928
1,750
Loews
Corporation
110,793
12,223
M&T
Bank
Corporation
1,545,598
984
Marsh
&
McLennan
Companies,
Inc.
187,255
22,127
Mastercard,
Inc.
8,760,301
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
4
Shares
Common
Stock
(45.3%)
Value
Financials
(6.5%)
-
continued
658
Mercantile
Bank
Corporation
$
20,339
24,362
MetLife,
Inc.
1,532,613
3,869
Metropolitan
Bank
Holding
Corporation
a
140,367
9,913
MFA
Financial,
Inc.
95,264
45,858
MGIC
Investment
Corporation
765,370
538
Mid
Penn
Bancorp,
Inc.
10,830
4,274
Midland
States
Bancorp,
Inc.
87,788
6,538
MidWestOne
Financial
Group,
Inc.
132,918
13,754
Morgan
Stanley
1,123,289
6,806
Mr.
Cooper
Group,
Inc.
a
364,529
4,355
MSCI,
Inc.
2,234,463
432
MVB
Financial
Corporation
9,755
24,443
Nasdaq,
Inc.
1,187,685
5,806
Navient
Corporation
99,979
12,763
New
York
Community
Bancorp,
Inc.
144,732
15,780
NMI
Holdings,
Inc.
a
427,480
170
Northrim
BanCorp,
Inc.
6,735
15,618
NU
Holdings,
Ltd./Cayman
Islands
a
113,231
4,224
OceanFirst
Financial
Corporation
61,121
1,900
OFG
Bancorp
56,734
3,429
Old
National
Bancorp
49,858
3,013
Old
Republic
International
Corporation
81,170
1,563
Old
Second
Bancorp,
Inc.
21,272
8,234
OneMain
Holdings,
Inc.
330,101
454
Pacific
Premier
Bancorp,
Inc.
9,879
97,688
PayPal
Holdings,
Inc.
a
5,710,840
892
PCB
Bancorp
13,781
714
PennyMac
Financial
Services,
Inc.
47,552
1,078
Pinnacle
Financial
Partners,
Inc.
72,269
302
PNC
Financial
Services
Group,
Inc.
37,077
2,539
Popular,
Inc.
159,982
3,206
Premier
Financial
Corporation
54,694
270
PROG
Holdings,
Inc.
a
8,967
1,307
Prosperity
Bancshares,
Inc.
71,336
2,399
Provident
Financial
Services,
Inc.
36,681
2,253
Prudential
Financial,
Inc.
213,787
26,675
Radian
Group,
Inc.
669,809
37,845
Raymond
James
Financial,
Inc.
3,800,773
3,669
Regions
Financial
Corporation
63,107
51
Reinsurance
Group
of
America,
Inc.
7,405
50,715
Rithm
Capital
Corporation
471,142
19,620
RLI
Corporation
2,666,162
766
S&T
Bancorp,
Inc.
20,743
2,675
Sandy
Spring
Bancorp,
Inc.
57,325
14,668
SEI
Investments
Company
883,454
1,895
Shore
Bancshares,
Inc.
19,935
553
Simmons
First
National
Corporation
9,379
414
SmartFinancial,
Inc.
8,847
235
Southern
First
Bancshares,
Inc.
a
6,331
1,077
SouthState
Corporation
72,547
3,876
Synchrony
Financial
118,489
4,787
Synovus
Financial
Corporation
133,079
1,744
T.
Rowe
Price
Group,
Inc.
182,893
1,384
Territorial
Bancorp,
Inc.
12,581
5,754
TPG,
Inc.
173,310
13,998
Tradeweb
Markets,
Inc.
1,122,640
37,767
Triumph
Financial,
Inc.
a
2,446,924
2,774
TrustCo
Bank
Corporation
NY
75,702
3,155
Trustmark
Corporation
68,558
Shares
Common
Stock
(45.3%)
Value
Financials
(6.5%)
-
continued
7,339
Two
Harbors
Investment
Corporation
$
97,168
1,311
U.S.
Bancorp
43,342
748
UMB
Financial
Corporation
46,413
1,577
United
Bankshares,
Inc.
43,509
1,074
United
Community
Banks,
Inc.
27,290
3,158
Univest
Financial
Corporation
54,886
11,171
Unum
Group
549,501
7,380
Valley
National
Bancorp
63,173
5,101
Veritex
Holdings,
Inc.
91,563
11,074
Virtu
Financial,
Inc.
191,248
1,132
Visa,
Inc.
260,371
14,424
Voya
Financial,
Inc.
958,475
2,173
W.R.
Berkley
Corporation
137,964
548
Walker
&
Dunlop,
Inc.
40,684
3,052
Washington
Federal,
Inc.
78,192
104
Webster
Financial
Corporation
4,192
93,391
Wells
Fargo
&
Company
3,815,956
1,600
Westamerica
Bancorporation
69,200
67,773
Western
Alliance
Bancorp
3,115,525
45,226
Western
Union
Company
596,079
845
WEX,
Inc.
a
158,936
132
Willis
Towers
Watson
plc
27,583
829
Wintrust
Financial
Corporation
62,590
251
WSFS
Financial
Corporation
9,162
25,149
Zions
Bancorp
NA
877,449
Total
121,121,306
Health
Care
(6.1%)
17,235
Abbott
Laboratories
1,669,210
824
ACADIA
Pharmaceuticals,
Inc.
a
17,172
8,898
Agilent
Technologies,
Inc.
994,974
1,741
Agiliti,
Inc.
a
11,299
2,182
Agios
Pharmaceuticals,
Inc.
a
54,005
4,787
Aldeyra
Therapeutics,
Inc.
a
31,977
3,766
Align
Technology,
Inc.
a
1,149,835
15,444
Alkermes
plc
a
432,586
150
Alnylam
Pharmaceuticals,
Inc.
a
26,565
11,354
Amgen,
Inc.
3,051,501
3,315
Amicus
Therapeutics,
Inc.
a
40,310
1,413
Amphastar
Pharmaceuticals,
Inc.
a
64,984
1,444
Anika
Therapeutics,
Inc.
a
26,902
6,569
Apellis
Pharmaceuticals,
Inc.
a
249,885
5,160
Argenx
SE
ADR
a
2,536,811
8,595
Ascendis
Pharma
AS
ADR
a
804,836
13,418
AstraZeneca
plc
ADR
908,667
1,544
Avanos
Medical,
Inc.
a
31,220
106,381
Avantor,
Inc.
a
2,242,512
7,672
Azenta,
Inc.
a
385,058
25,219
Baxter
International,
Inc.
951,765
6,751
Biogen,
Inc.
a
1,735,075
205
BioMarin
Pharmaceutical,
Inc.
a
18,138
262
Bio-Rad
Laboratories,
Inc.
a
93,914
29,588
Bio-Techne
Corporation
2,014,055
416
Blueprint
Medicines
Corporation
a
20,892
1,268
Bruker
Corporation
78,996
1,270
Cardinal
Health,
Inc.
110,261
554
Cencora,
Inc.
99,703
14,593
Centene
Corporation
a
1,005,166
1,750
Charles
River
Laboratories
International,
Inc.
a
342,965
7,799
Cigna
Group
2,231,060
2,569
Codexis,
Inc.
a
4,855
3,829
Community
Health
Systems,
Inc.
a
11,104
3,911
Cooper
Companies,
Inc.
1,243,737
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
5
Shares
Common
Stock
(45.3%)
Value
Health
Care
(6.1%)
-
continued
20,369
CVS
Health
Corporation
$
1,422,164
20,174
Danaher
Corporation
5,005,169
4,212
Deciphera
Pharmaceuticals,
Inc.
a
53,577
21,636
Dentsply
Sirona,
Inc.
739,086
13,821
Dexcom,
Inc.
a
1,289,499
8,749
Dynavax
Technologies
Corporation
a
129,223
25,818
Edwards
Lifesciences
Corporation
a
1,788,671
66,679
Elanco
Animal
Health,
Inc.
a
749,472
5,291
Elevance
Health,
Inc.
2,303,807
809
Eli
Lilly
&
Company
434,538
830
Enanta
Pharmaceuticals,
Inc.
a
9,271
45,324
Enovis
Corporation
a
2,389,935
4,501
Exelixis,
Inc.
a
98,347
28,678
Gilead
Sciences,
Inc.
2,149,129
3,516
Globus
Medical,
Inc.
a
174,569
4,454
GoodRx
Holdings,
Inc.
a
25,076
47,740
Halozyme
Therapeutics,
Inc.
a
1,823,668
5,732
HCA
Healthcare,
Inc.
1,409,957
5,805
Hologic,
Inc.
a
402,867
3,861
ICON
plc
a
950,771
120
IDEXX
Laboratories,
Inc.
a
52,472
16,100
Immunocore
Holdings
plc
ADR
a
835,590
28,730
Inmode,
Ltd.
a
875,116
3,862
Inspire
Medical
Systems,
Inc.
a
766,375
11,215
Intuitive
Surgical,
Inc.
a
3,278,032
894
IQVIA
Holding,
Inc.
a
175,895
1,832
Jazz
Pharmaceuticals,
Inc.
a
237,134
15,034
Johnson
&
Johnson
2,341,546
257
Kiniksa
Pharmaceuticals,
Ltd.
a
4,464
1,914
Kura
Oncology,
Inc.
a
17,456
18,923
Laboratory
Corporation
of
America
Holdings
3,804,469
25,389
Lantheus
Holdings,
Inc.
a
1,764,028
62
Ligand
Pharmaceuticals,
Inc.
a
3,715
890
LivaNova
plc
a
47,063
244,672
Maravai
LifeSciences
Holdings,
Inc.
a
2,446,720
288
Masimo
Corporation
a
25,252
29
Medpace
Holdings,
Inc.
a
7,022
53,368
Medtronic
plc
4,181,917
41,719
Merck
&
Company,
Inc.
4,294,971
8,617
Molina
Healthcare,
Inc.
a
2,825,428
2,012
Myriad
Genetics,
Inc.
a
32,273
10,387
Natera,
Inc.
a
459,625
1,844
National
HealthCare
Corporation
117,979
31,394
Novo
Nordisk
AS
ADR
a
2,854,970
1,929
OraSure
Technologies,
Inc.
a
11,439
2,404
Pacira
Pharmaceuticals,
Inc.
a
73,755
2,575
Pediatrix
Medical
Group,
Inc.
a
32,728
55,965
Pfizer,
Inc.
1,856,359
34,583
Phreesia,
Inc.
a
646,010
52,131
Point
Biopharma
Global,
Inc.
a
347,714
85,053
Progyny,
Inc.
a
2,893,503
2,743
Qiagen
NV
a
111,092
5,744
QuidelOrtho
Corporation
a
419,542
78,221
R1
RCM,
Inc.
a
1,178,791
13,011
Repligen
Corporation
a
2,068,879
3,424
Revance
Therapeutics,
Inc.
a
39,273
3,990
Rocket
Pharmaceuticals,
Inc.
a
81,755
1,922
Royalty
Pharma
plc
52,163
10,133
Sarepta
Therapeutics,
Inc.
a
1,228,322
69,650
scPharmaceuticals,
Inc.
a
495,908
1,811
Sensus
Healthcare,
Inc.
a
5,016
5,981
ShockWave
Medical,
Inc.
a
1,190,817
Shares
Common
Stock
(45.3%)
Value
Health
Care
(6.1%)
-
continued
744
Teleflex,
Inc.
$
146,129
3,265
TG
Therapeutics,
Inc.
a
27,295
3,275
Thermo
Fisher
Scientific,
Inc.
1,657,707
14,879
UnitedHealth
Group,
Inc.
7,501,843
1,521
Vanda
Pharmaceuticals,
Inc.
a
6,571
8,966
Veeva
Systems,
Inc.
a
1,824,133
5,631
Veracyte,
Inc.
a
125,740
33,914
Vericel
Corporation
a
1,136,797
1,118
Vertex
Pharmaceuticals,
Inc.
a
388,773
49,083
Viemed
Healthcare,
Inc.
a
330,329
10,002
Vor
BioPharma,
Inc.
a,b
21,204
3,024
Waters
Corporation
a
829,211
1,128
West
Pharmaceutical
Services,
Inc.
423,237
1,471
Zentalis
Pharmaceuticals,
Inc.
a
29,508
13,443
Zimmer
Biomet
Holdings,
Inc.
1,508,573
34,220
Zoetis,
Inc.
5,953,596
Total
114,134,015
Industrials
(6.0%)
2,774
A.O.
Smith
Corporation
183,445
1,062
Acuity
Brands,
Inc.
180,869
22,044
Advanced
Drainage
Systems,
Inc.
2,509,269
4,016
AGCO
Corporation
475,013
33,307
Air
Lease
Corporation
1,312,629
9,710
Alaska
Air
Group,
Inc.
a
360,047
490
American
Woodmark
Corporation
a
37,049
10,835
AMETEK,
Inc.
1,600,980
398
Apogee
Enterprises,
Inc.
18,738
4,254
Armstrong
World
Industries,
Inc.
306,288
40,496
ASGN,
Inc.
a
3,307,713
5,640
Automatic
Data
Processing,
Inc.
1,356,871
2,658
Axon
Enterprise,
Inc.
a
528,915
1,638
AZZ,
Inc.
74,660
81,157
Badger
Infrastructure
Solutions,
Ltd.
2,072,767
20,012
Barnes
Group,
Inc.
679,808
9,569
Beacon
Roofing
Supply,
Inc.
a
738,440
1,214
Boise
Cascade
Company
125,091
2,988
Builders
FirstSource,
Inc.
a
371,976
8,377
Carlisle
Companies,
Inc.
2,171,821
529
Caterpillar,
Inc.
144,417
12,256
Chart
Industries,
Inc.
a
2,072,735
10,974
Cimpress
plc
a
768,290
795
Cintas
Corporation
382,403
107,043
CNH
Industrial
NV
1,295,220
141
Columbus
McKinnon
Corporation
4,922
9,684
Conduent
Incorporated
a
33,700
1,074
CSW
Industrials,
Inc.
188,208
78,740
CSX
Corporation
2,421,255
5,976
Cummins,
Inc.
1,365,277
6,513
Curtiss-Wright
Corporation
1,274,138
1,058
Daseke,
Inc.
a
5,428
1,988
Deere
&
Company
750,231
42,258
Delta
Air
Lines,
Inc.
1,563,546
2,061
Donaldson
Company,
Inc.
122,918
32
Dover
Corporation
4,464
2,933
EMCOR
Group,
Inc.
617,074
239
Equifax,
Inc.
43,780
99,401
ExlService
Holdings,
Inc.
a
2,787,204
1,880
Expeditors
International
of
Washington,
Inc.
215,504
74,920
Fastenal
Company
4,093,629
8,622
Ferguson
plc
1,418,060
51,846
First
Advantage
Corporation
714,956
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
6
Shares
Common
Stock
(45.3%)
Value
Industrials
(6.0%)
-
continued
29,697
Flowserve
Corporation
$
1,181,050
20,179
Fluor
Corporation
a
740,569
550
Forrester
Research,
Inc.
a
15,895
3,504
Fortune
Brands
Innovations,
Inc.
217,809
1,870
Gates
Industrial
Corporation
plc
a
21,711
9,261
General
Dynamics
Corporation
2,046,403
2,122
Gibraltar
Industries,
Inc.
a
143,256
61
GMS,
Inc.
a
3,902
338
Gorman-Rupp
Company
11,120
15,265
Greenbrier
Companies,
Inc.
610,600
672
Griffon
Corporation
26,658
154
Heidrick
&
Struggles
International,
Inc.
3,853
31,976
Helios
Technologies,
Inc.
1,774,029
1,233
Herc
Holdings,
Inc.
146,653
3,926
Hillman
Solutions
Corporation
a
32,390
6,671
Honeywell
International,
Inc.
1,232,401
102,701
Howmet
Aerospace,
Inc.
4,749,921
1,300
Hubbell,
Inc.
407,433
1,681
IDEX
Corporation
349,682
732
Ingersoll
Rand,
Inc.
46,643
1,828
Interface,
Inc.
17,933
170,115
Janus
International
Group,
Inc.
a
1,820,231
5,118
JB
Hunt
Transport
Services,
Inc.
964,845
9,636
JetBlue
Airways
Corporation
a
44,326
16,541
Johnson
Controls
International
plc
880,147
3,167
Kennametal,
Inc.
78,795
9,466
L3Harris
Technologies,
Inc.
1,648,220
10,058
Lincoln
Electric
Holdings,
Inc.
1,828,444
11,726
ManpowerGroup,
Inc.
859,750
9,978
Masco
Corporation
533,324
50,943
Masterbrand,
Inc.
a
618,957
1,233
Matson,
Inc.
109,392
11,192
Maximus,
Inc.
835,819
17,775
Middleby
Corporation
a
2,275,200
15,583
Miller
Industries,
Inc.
611,009
4,404
Moog,
Inc.
497,476
1,803
MSC
Industrial
Direct
Company,
Inc.
176,964
440
MYR
Group,
Inc.
a
59,294
138
National
Presto
Industries,
Inc.
9,999
6,635
Northrop
Grumman
Corporation
2,920,661
4,224
nVent
Electric
plc
223,830
7,005
Old
Dominion
Freight
Line,
Inc.
2,866,026
14,904
Oshkosh
Corporation
1,422,289
1,805
Otis
Worldwide
Corporation
144,960
12,102
Owens
Corning,
Inc.
1,650,834
8,113
PACCAR,
Inc.
689,767
10,226
Parker-Hannifin
Corporation
3,983,232
673
Paycom
Software,
Inc.
174,489
749
Paylocity
Holding
Corporation
a
136,093
21,924
Pentair
plc
1,419,579
4,264
Quanta
Services,
Inc.
797,666
41,043
RB
Global,
Inc.
2,565,188
10,363
Regal
Rexnord
Corporation
1,480,665
2,409
Republic
Services,
Inc.
343,307
1,883
Resideo
Technologies,
Inc.
a
29,751
5,085
Saia,
Inc.
a
2,027,135
30,268
Schneider
National,
Inc.
838,121
10,553
Simpson
Manufacturing
Company,
Inc.
1,580,945
4,113
SiteOne
Landscape
Supply,
Inc.
a
672,270
4,326
SkyWest,
Inc.
a
181,432
184
Snap-On,
Inc.
46,931
11,406
Southwest
Airlines
Company
308,760
Shares
Common
Stock
(45.3%)
Value
Industrials
(6.0%)
-
continued
2,922
Standex
International
Corporation
$
425,706
529
Sterling
Construction
Company,
Inc.
a
38,871
9,591
Tennant
Company
711,173
2,791
Terex
Corporation
160,817
4,450
Textron,
Inc.
347,723
24,013
Timken
Company
1,764,715
1,562
Titan
International,
Inc.
a
20,978
1,455
Titan
Machinery,
Inc.
a
38,674
2,628
Trane
Technologies
plc
533,247
20,046
TransUnion
1,439,102
2,455
Trex
Company,
Inc.
a
151,302
88,329
Uber
Technologies,
Inc.
a
4,062,251
32
UniFirst
Corporation/MA
5,216
14,519
United
Parcel
Service,
Inc.
2,263,077
6,778
United
Rentals,
Inc.
3,013,295
373
Valmont
Industries,
Inc.
89,598
2,041
Vertiv
Holdings
Company
75,925
3,102
Wabash
National
Corporation
65,514
45,846
WillScot
Mobile
Mini
Holdings
Corporation
a
1,906,735
Total
111,949,701
Information
Technology
(10.3%)
7,856
8x8,
Inc.
a
19,797
11,135
Adobe,
Inc.
a
5,677,736
41,884
Advanced
Micro
Devices,
Inc.
a
4,306,513
1,399
Alarm.com
Holdings,
Inc.
a
85,535
1,005
Alpha
and
Omega
Semiconductor,
Ltd.
a
29,989
489
American
Software,
Inc.
5,604
3,096
Amkor
Technology,
Inc.
69,970
28,964
Amphenol
Corporation
2,432,686
2,269
ANSYS,
Inc.
a
675,141
97,370
Apple,
Inc.
16,670,718
22,720
Applied
Materials,
Inc.
3,145,584
7,439
Arista
Networks,
Inc.
a
1,368,255
3,816
Autodesk,
Inc.
a
789,569
215
Broadcom,
Inc.
178,575
67,286
Calix,
Inc.
a
3,084,390
546
CDW
Corporation
110,161
24,867
Ciena
Corporation
a
1,175,214
191,452
Cisco
Systems,
Inc.
10,292,459
29,593
Cognex
Corporation
1,255,927
163
Cognizant
Technology
Solutions
Corporation
11,042
18,372
Cohu,
Inc.
a
632,732
9,683
CommScope
Holding
Company,
Inc.
a
32,535
65
CommVault
Systems,
Inc.
a
4,395
1,155
Corning,
Inc.
35,193
9,355
Crane
NXT
Company
519,857
2,214
Datadog,
Inc.
a
201,673
17,854
Descartes
Systems
Group,
Inc.
a
1,310,126
2,726
DocuSign,
Inc.
a
114,492
4,643
Dolby
Laboratories,
Inc.
368,004
73,507
Dropbox,
Inc.
a
2,001,596
26,986
Dynatrace
Holdings,
LLC
a
1,261,056
757
Elastic
NV
a
61,499
4,044
Enphase
Energy,
Inc.
a
485,887
11,508
Entegris,
Inc.
1,080,716
4,537
EPAM
Systems,
Inc.
a
1,160,066
314
F5,
Inc.
a
50,598
38
Fair
Isaac
Corporation
a
33,004
8,833
Five9,
Inc.
a
567,962
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
7
Shares
Common
Stock
(45.3%)
Value
Information
Technology
(10.3%)
-
continued
24,974
Flex,
Ltd.
a
$
673,799
4,142
FormFactor,
Inc.
a
144,721
29,762
Fortinet,
Inc.
a
1,746,434
19
Gartner,
Inc.
a
6,529
40,833
Gilat
Satellite
Networks,
Ltd.
a
262,556
994
GoDaddy,
Inc.
a
74,033
80,001
Grid
Dynamics
Holdings,
Inc.
a
974,412
40,478
Guidewire
Software,
Inc.
a
3,643,020
46,413
Hackett
Group,
Inc.
1,094,883
16,431
Hewlett
Packard
Enterprise
Company
285,406
155
HP,
Inc.
3,983
2,701
HubSpot,
Inc.
a
1,330,242
2,149
Insight
Enterprises,
Inc.
a
312,679
1,829
IPG
Photonics
Corporation
a
185,717
1,278
JFrog,
Ltd.
a
32,410
12,757
Juniper
Networks,
Inc.
354,517
3,183
Keysight
Technologies,
Inc.
a
421,143
1,504
KLA
Corporation
689,825
43,526
Knowles
Corporation
a
644,620
5,909
Kyndryl
Holdings,
Inc.
a
89,226
2,064
Lam
Research
Corporation
1,293,653
32,380
Lattice
Semiconductor
Corporation
a
2,782,413
5,336
Littelfuse,
Inc.
1,319,699
4,108
LiveRamp
Holding,
Inc.
a
118,475
5,571
Marvell
Technology,
Inc.
301,558
1,771
MaxLinear,
Inc.
a
39,405
5,577
Microchip
Technology,
Inc.
435,285
104,936
Microsoft
Corporation
33,133,542
1,872
MKS
Instruments,
Inc.
162,003
3,872
Monolithic
Power
Systems,
Inc.
1,788,864
266
Motorola
Solutions,
Inc.
72,416
2,373
NCR
Corporation
a
64,000
2,224
NetApp,
Inc.
168,757
3,812
NICE,
Ltd.
ADR
a
648,040
13,263
Nova,
Ltd.
a
1,491,292
37,788
NVIDIA
Corporation
16,437,402
9,725
ON
Semiconductor
Corporation
a
903,939
156
OSI
Systems,
Inc.
a
18,414
32,523
PagerDuty,
Inc.
a
731,442
10,468
Palo
Alto
Networks,
Inc.
a
2,454,118
13,696
PDF
Solutions,
Inc.
a
443,750
9,603
Plexus
Corporation
a
892,887
11,939
PTC,
Inc.
a
1,691,517
4,976
Q2
Holdings,
Inc.
a
160,575
1,531
Qorvo,
Inc.
a
146,165
68,313
QUALCOMM,
Inc.
7,586,842
5,126
Rackspace
Technology,
Inc.
a,b
12,046
1,529
Rapid7,
Inc.
a
69,998
2,074
RingCentral,
Inc.
a
61,453
824
Roper
Industries,
Inc.
399,047
28,646
Salesforce,
Inc.
a
5,808,836
55,471
Samsung
Electronics
Company,
Ltd.
2,804,288
529
Sanmina
Corporation
a
28,714
10,668
ServiceNow,
Inc.
a
5,962,985
8,947
Silicon
Laboratories,
Inc.
a
1,036,868
3,536
Skyworks
Solutions,
Inc.
348,614
3,427
SolarWinds
Corporation
a
32,351
1,585
Sprinklr,
Inc.
a
21,936
75,762
Sprout
Social,
Inc.
a
3,779,009
3,904
SPS
Commerce,
Inc.
a
666,061
5,132
Synopsys,
Inc.
a
2,355,434
10,711
TE
Connectivity,
Ltd.
1,323,130
Shares
Common
Stock
(45.3%)
Value
Information
Technology
(10.3%)
-
continued
388
Teledyne
Technologies,
Inc.
a
$
158,529
3,071
Teradata
Corporation
a
138,256
95
Teradyne,
Inc.
9,544
16,590
Texas
Instruments,
Inc.
2,637,976
11,266
Trimble,
Inc.
a
606,787
185,257
TTM
Technologies,
Inc.
a
2,386,110
11,356
Tyler
Technologies,
Inc.
a
4,385,006
10,039
Unisys
Corporation
a
34,635
5,548
Universal
Display
Corporation
870,981
4,023
Upland
Software,
Inc.
a
18,586
54,074
Varonis
Systems,
Inc.
a
1,651,420
1,949
Verint
Systems,
Inc.
a
44,807
6,275
VeriSign,
Inc.
a
1,270,876
6,761
Viavi
Solutions,
Inc.
a
61,796
7,261
Vishay
Intertechnology,
Inc.
179,492
7,839
Vontier
Corporation
242,382
26,899
Wolfspeed,
Inc.
a
1,024,852
23,789
Workiva,
Inc.
a
2,410,777
1,377
Xerox
Holdings
Corporation
21,605
5,803
Yext,
Inc.
a
36,733
2,371
Zoom
Video
Communications,
Inc.
a
165,828
Total
192,630,612
Materials
(1.4%)
803
Albemarle
Corporation
136,542
14,931
Alcoa
Corporation
433,895
418
AptarGroup,
Inc.
52,267
53,573
Axalta
Coating
Systems,
Ltd.
a
1,441,114
18,601
Ball
Corporation
925,958
4,670
Berry
Plastics
Group,
Inc.
289,120
9,175
Carpenter
Technology
Corporation
616,652
4,469
Celanese
Corporation
560,949
23,922
CF
Industries
Holdings,
Inc.
2,051,072
13,571
Cleveland-Cliffs,
Inc.
a
212,115
4,983
Commercial
Metals
Company
246,210
3,126
Eagle
Materials,
Inc.
520,542
16,053
Eastman
Chemical
Company
1,231,586
114
Hawkins,
Inc.
6,709
5,778
Huntsman
Corporation
140,983
16,407
Ingevity
Corporation
a
781,137
2,718
Innospec,
Inc.
277,780
53,107
Ivanhoe
Mines,
Ltd.
a
455,119
671
Kaiser
Aluminum
Corporation
50,499
2,243
Linde
plc
835,181
2,998
LSB
Industries,
Inc.
a
30,670
391
LyondellBasell
Industries
NV
37,028
2,915
Martin
Marietta
Materials,
Inc.
1,196,549
811
Myers
Industries,
Inc.
14,541
6,042
Newmont
Corporation
223,252
28,099
Nucor
Corporation
4,393,279
3,865
O-I
Glass,
Inc.
a
64,661
2,141
Orion
SA
45,560
10,301
PPG
Industries,
Inc.
1,337,070
174,392
Ranpak
Holdings
Corporation
a
948,693
478
Reliance
Steel
&
Aluminum
Company
125,346
17,172
RPM
International,
Inc.
1,628,077
1,483
Ryerson
Holding
Corporation
43,140
2,048
Schnitzer
Steel
Industries,
Inc.
57,037
12,529
Steel
Dynamics,
Inc.
1,343,359
26,467
Summit
Materials,
Inc.
a
824,182
5,096
SunCoke
Energy,
Inc.
51,724
1,888
TimkenSteel
Corporation
a
41,007
700
TriMas
Corporation
17,332
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
8
Shares
Common
Stock
(45.3%)
Value
Materials
(1.4%)
-
continued
1,008
Trinseo
plc
$
8,235
110,314
Tronox
Holdings
plc
1,482,620
4,906
United
States
Lime
&
Minerals,
Inc.
986,106
16,943
United
States
Steel
Corporation
550,309
2,086
Vulcan
Materials
Company
421,414
Total
27,136,621
Real
Estate
(1.5%)
42,583
Agree
Realty
Corporation
2,352,285
6,745
Alexandria
Real
Estate
Equities,
Inc.
675,174
8,184
Apartment
Income
REIT
Corporation
251,249
10,157
AvalonBay
Communities,
Inc.
1,744,363
6,738
Camden
Property
Trust
637,280
1,775
CareTrust
REIT,
Inc.
36,387
20,836
CBRE
Group,
Inc.
a
1,538,947
1,560
Centerspace
94,006
3,342
Chatham
Lodging
Trust
31,983
11,352
Compass,
Inc.
a
32,921
19,456
CubeSmart
741,857
91,448
Cushman
and
Wakefield
plc
a
696,834
618
EastGroup
Properties,
Inc.
102,916
10,234
Elme
Communities
139,592
8,019
EPR
Properties
333,109
27,058
Equity
Commonwealth
497,055
11,235
Equity
Residential
659,607
4,683
Essential
Properties
Realty
Trust,
Inc.
101,293
938
Essex
Property
Trust,
Inc.
198,940
4,454
Extra
Space
Storage,
Inc.
541,517
6,447
First
Industrial
Realty
Trust,
Inc.
306,813
7,056
FirstService
Corporation
1,026,930
10,755
Four
Corners
Property
Trust,
Inc.
238,653
2,363
Getty
Realty
Corporation
65,526
83,725
Healthcare
Realty
Trust,
Inc.
1,278,481
88,686
Host
Hotels
&
Resorts,
Inc.
1,425,184
1,396
Howard
Hughes
Holdings,
Inc.
a
103,485
58,326
Independence
Realty
Trust,
Inc.
820,647
2,247
Kennedy-Wilson
Holdings,
Inc.
33,121
843
LTC
Properties,
Inc.
27,086
26,830
LXP
Industrial
Trust
238,787
6,659
Mid-America
Apartment
Communities,
Inc.
856,680
30,011
National
Storage
Affiliates
Trust
952,549
9,115
NetSTREIT
Corporation
142,012
6,966
NNN
REIT,
Inc.
246,178
8,487
Pebblebrook
Hotel
Trust
115,338
4,180
Public
Storage
1,101,514
3,875
Realty
Income
Corporation
193,518
11,515
Regency
Centers
Corporation
684,452
15,149
Rexford
Industrial
Realty,
Inc.
747,603
788
RMR
Group,
Inc.
19,322
11,216
Sabra
Health
Care
REIT,
Inc.
156,351
22,234
SBA
Communications
Corporation
4,450,580
20,682
Service
Properties
Trust
159,045
1,617
Terreno
Realty
Corporation
91,846
31,536
UDR,
Inc.
1,124,889
2,373
Welltower,
Inc.
194,396
Total
28,208,301
Utilities
(0.9%)
2,296
AES
Corporation
34,899
15,644
Alliant
Energy
Corporation
757,952
Shares
Common
Stock
(45.3%)
Value
Utilities
(0.9%)
-
continued
19,489
American
Electric
Power
Company,
Inc.
$
1,465,963
1,578
Artesian
Resources
Corporation
66,260
894
Avista
Corporation
28,939
13,771
Black
Hills
Corporation
696,675
20,144
CenterPoint
Energy,
Inc.
540,866
274
Clearway
Energy,
Inc.
5,458
22,421
Constellation
Energy
Corporation
2,445,683
19,448
Duke
Energy
Corporation
1,716,480
2,861
Edison
International
181,073
16,819
Entergy
Corporation
1,555,757
17,598
Evergy,
Inc.
892,219
461
NextEra
Energy
Partners,
LP
b
13,692
108,184
NiSource,
Inc.
2,669,981
15,552
NorthWestern
Corporation
747,429
27,485
OGE
Energy
Corporation
916,075
4,606
Pinnacle
West
Capital
Corporation
339,370
18,449
Portland
General
Electric
Company
746,815
21,421
Public
Service
Enterprise
Group,
Inc.
1,219,069
7,027
Spire,
Inc.
397,588
23,507
UGI
Corporation
540,661
Total
17,978,904
Total
Common
Stock
(cost
$689,128,893)
849,039,284
Shares
Registered
Investment
Companies
(
38.1%
)
Value
U.S.
Affiliated  (37.5%)
4,913,436
Thrivent
Core
Emerging
Markets
Equity
Fund
40,879,785
5,012,855
Thrivent
Core
International
Equity
Fund
47,271,221
3,042,204
Thrivent
Core
Low
Volatility
Equity
Fund
34,072,682
5,841,591
Thrivent
Core
Mid
Cap
Value
Fund
56,721,847
2,396,366
Thrivent
Core
Small
Cap
Value
Fund
21,567,292
5,783,104
Thrivent
Global
Stock
Portfolio
71,357,137
504,898
Thrivent
High
Yield
Portfolio
2,012,017
120,903
Thrivent
Income
Portfolio
1,001,172
15,478,233
Thrivent
International
Allocation
Portfolio
132,382,232
895,006
Thrivent
International
Index
Portfolio
10,740,336
4,816,135
Thrivent
Large
Cap
Value
Portfolio
95,973,533
222,818
Thrivent
Limited
Maturity
Bond
Portfolio
2,094,106
6,385,277
Thrivent
Mid
Cap
Stock
Portfolio
115,108,025
4,365,662
Thrivent
Small
Cap
Stock
Portfolio
69,643,229
Total
700,824,614
U.S.
Unaffiliated  (0.6%)
12,875
Communication
Services
Select
Sector
SPDR
Fund
844,214
2,144
Invesco
QQQ
Trust
Series
1
b
768,131
4,459
iShares
Biotechnology
ETF
545,291
17,250
SPDR
S&P
500
ETF
Trust
7,374,030
28,180
SPDR
S&P
Biotech
ETF
2,057,704
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
9
Shares
Registered
Investment
Companies
(38.1%)
Value
U.S.
Unaffiliated  (0.6%)-
continued
1,977
SPDR
S&P
Oil
&
Gas
Exploration
ETF
$
292,418
Total
11,881,788
Total
Registered
Investment
Companies
(cost
$695,536,315)
712,706,402
Principal
Amount
Long-Term
Fixed
Income
(
4.9%
)
Value
Commercial
Mortgage-Backed
Securities
(0.1%)
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
$
175,000
3.500%, 
7/25/2032,
Ser.
K148,
Class
A2
c,d
153,394
275,000
3.530%, 
8/25/2032,
Ser.
K149,
Class
A2
c
241,276
1,100,000
3.820%, 
12/25/2032,
Ser.
K-153,
Class
A2
c,d
983,907
275,000
4.350%, 
1/25/2033,
Ser.
K-154,
Class
A2
c,d
256,304
Federal
Home
Loan
Mortgage
Corporation
Multifamily
WI
Certificates
250,000
4.500%, 
11/25/2033,
Ser.
K159,
Class
A2
235,210
250,000
4.500%, 
12/25/2033,
Ser.
K160,
Class
A2
234,137
Total
2,104,228
Mortgage-Backed
Securities
(2.6%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
1,034,550
2.500%, 
5/1/2051
825,624
490,648
3.500%, 
5/1/2052
422,513
481,791
4.000%, 
5/1/2052
432,399
801,457
3.500%, 
6/1/2052
690,663
148,519
5.000%, 
7/1/2053
140,588
1,067,862
5.500%, 
7/1/2053
1,036,100
1,850,000
5.500%, 
9/1/2053
1,794,966
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
236,355
2.500%, 
7/1/2030
215,440
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
648,495
3.000%, 
8/1/2038
575,906
562,685
3.500%, 
5/1/2040
499,875
516,973
2.500%, 
4/1/2042
425,230
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
1,044,668
3.000%, 
1/1/2052
869,684
160,200
2.000%, 
2/1/2051
122,700
104,163
2.000%, 
2/1/2051
79,657
538,345
2.500%, 
2/1/2051
430,521
757,557
2.500%, 
2/1/2051
607,047
1,353,751
2.000%, 
3/1/2051
1,034,629
1,081,742
3.000%, 
3/1/2052
897,099
643,969
3.000%, 
4/1/2051
534,636
653,333
3.000%, 
5/1/2050
546,652
Principal
Amount
Long-Term
Fixed
Income
(4.9%)
Value
Mortgage-Backed
Securities
(2.6%)
-
continued
$
215,306
2.000%, 
5/1/2051
$
164,204
518,677
3.000%, 
5/1/2051
436,051
425,033
3.000%, 
6/1/2050
359,024
124,514
5.000%, 
6/1/2053
118,058
815,579
2.500%, 
7/1/2051
651,051
357,696
3.500%, 
7/1/2051
312,775
367,046
3.500%, 
8/1/2050
321,289
181,332
3.500%, 
9/1/2052
156,786
2,622,151
4.500%, 
9/1/2053
2,410,354
785,678
4.000%, 
10/1/2052
701,775
1,000,000
7.000%, 
10/1/2053
e
1,020,742
214,768
2.000%, 
11/1/2051
163,991
867,916
2.000%, 
12/1/2050
664,775
892,053
2.500%, 
12/1/2051
712,806
429,643
4.500%, 
12/1/2052
396,229
6,200,000
5.500%, 
10/1/2041
e
5,991,477
8,200,000
6.000%, 
10/1/2041
e
8,092,375
3,460,000
4.000%, 
10/1/2048
e
3,080,211
4,440,000
4.500%, 
10/1/2048
e
4,076,475
6,700,000
5.000%, 
10/1/2048
e
6,321,031
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
548,337
2.500%, 
3/1/2062
420,825
193,732
3.500%, 
7/1/2061
164,772
395,644
4.000%, 
12/1/2061
352,363
Total
49,271,368
U.S.
Government
&
Agencies
(2.2%)
U.S.
Treasury
Bonds
1,880,000
1.625%, 
11/15/2050
984,723
2,950,000
4.000%, 
11/15/2052
2,614,668
170,000
5.250%, 
11/15/2028
174,562
3,030,000
1.375%, 
11/15/2040
1,793,263
120,000
3.000%, 
5/15/2042
91,833
2,413,000
2.500%, 
5/15/2046
1,616,239
U.S.
Treasury
Notes
5,800,000
3.000%, 
6/30/2024
5,694,422
500,000
2.125%, 
7/31/2024
486,367
2,330,000
2.250%, 
11/15/2024
2,250,816
2,040,000
2.125%, 
11/30/2024
1,965,412
640,000
2.625%, 
1/31/2026
607,475
3,330,000
2.500%, 
2/28/2026
3,148,671
920,000
2.250%, 
11/15/2027
836,697
300,000
0.750%, 
1/31/2028
254,367
900,000
3.500%, 
1/31/2028
858,902
1,700,000
3.625%, 
3/31/2028
1,629,742
5,000,000
2.875%, 
5/15/2028
4,633,594
3,900,000
4.375%, 
8/31/2028
3,861,305
125,000
0.875%, 
11/15/2030
97,246
90,000
1.375%, 
11/15/2031
70,545
2,500,000
2.875%, 
5/15/2032
2,194,434
5,100,000
3.375%, 
5/15/2033
4,625,063
Total
40,490,346
Total
Long-Term
Fixed
Income
(cost
$98,947,750)
91,865,942
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
10
Shares
Collateral
Held
for
Securities
Loaned
(
<0.1%
)
Value
1,046,785
Thrivent
Cash
Management
Trust
$
1,046,785
Total
Collateral
Held
for
Securities
Loaned
(cost
$1,046,785)
1,046,785
Shares
or
Principal
Amount
Short-Term
Investments
(
12.4%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
1,700,000
5.270%,
10/25/2023
f,g
1,694,441
300,000
5.275%,
11/10/2023
f,g
298,337
2,500,000
5.285%,
11/15/2023
f,g
2,484,371
400,000
5.298%,
11/17/2023
f,g
397,386
3,100,000
5.300%,
12/6/2023
f,g
3,071,334
1,500,000
5.305%,
12/13/2023
f,g
1,484,643
8,700,000
5.315%,
12/15/2023
f,g
8,608,469
Thrivent
Core
Short-Term
Reserve
Fund
21,337,459
5.650%
213,374,590
Total
Short-Term
Investments
(cost
$231,320,695)
231,413,571
Total
Investments
(cost
$1,715,980,438)
100.7%
$1,886,071,984
Other
Assets
and
Liabilities,
Net
(0.7%)
(13,390,310)
Total
Net
Assets
100.0%
$1,872,681,674
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
d
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
e
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
f
The
interest
rate
shown
reflects
the
yield.
g
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Aggressive
Allocation
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
1,024,503
Total
lending
$1,024,503
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$1,046,785
Net
amounts
due
to
counterparty
$22,282
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
plc
-
Public
Limited
Company
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.
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
11
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
59,590,608
59,590,608
Consumer
Discretionary
96,098,280
96,098,280
Consumer
Staples
42,380,169
42,380,169
Energy
37,810,767
37,810,767
Financials
121,121,306
121,121,306
Health
Care
114,134,015
114,134,015
Industrials
111,949,701
109,876,934
2,072,767
Information
Technology
192,630,612
189,826,324
2,804,288
Materials
27,136,621
26,681,502
455,119
Real
Estate
28,208,301
28,208,301
Utilities
17,978,904
17,978,904
Registered
Investment
Companies
U.S.
Affiliated
500,311,787
500,311,787
U.S.
Unaffiliated
11,881,788
11,881,788
Long-Term
Fixed
Income
Commercial
Mortgage-Backed
Securities
2,104,228
2,104,228
Mortgage-Backed
Securities
49,271,368
49,271,368
U.S.
Government
&
Agencies
40,490,346
40,490,346
Short-Term
Investments
18,038,981
18,038,981
Subtotal
Investments
in
Securities
$1,471,137,782
$1,355,900,685
$115,237,097
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
213,374,590
U.S.
Affiliated
Registered
Investment
Cos.
200,512,827
Collateral
Held
for
Securities
Loaned
1,046,785
Subtotal
Other
Investments
$414,934,202
Total
Investments
at
Value
$1,886,071,984
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Aggressive
Allocation
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
8,304,555
8,304,555
Total
Asset
Derivatives
$8,304,555
$8,304,555
$–
$–
Liability
Derivatives
Futures
Contracts
15,423,475
15,423,475
Total
Liability
Derivatives
$15,423,475
$15,423,475
$–
$–
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
12
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
presents
Aggressive
Allocation
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$18,038,981
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
33
December
2023
$
3,641,951
(
$
75,888)
CBOT
2-Yr.
U.S.
Treasury
Note
5
December
2023
1,018,060
(
4,505)
CBOT
5-Yr.
U.S.
Treasury
Note
5
December
2023
532,543
(
5,747)
CBOT
U.S.
Long
Bond
4
December
2023
481,554
(
26,428)
CME
E-mini
S&P
500
Index
1,698
December
2023
381,840,955
(
14,606,005)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
9
December
2023
1,150,690
(
82,503)
ICE
mini
MSCI
EAFE
Index
213
December
2023
22,364,374
(
622,399)
Total
Futures
Long
Contracts
$
411,030,127
(
$
15,423,475)
CME
E-mini
Russell
2000
Index
(435)
December
2023
(
$
40,819,504)
$
1,699,954
CME
E-mini
S&P
Mid-Cap
400
Index
(659)
December
2023
(
171,655,266)
5,560,906
CME
Euro
Foreign
Exchange
Currency
(135)
December
2023
(
18,153,731)
245,137
Eurex
Euro
STOXX
50
Index
(399)
December
2023
(
17,954,280)
287,504
ICE
US
mini
MSCI
Emerging
Markets
Index
(425)
December
2023
(
20,815,429)
511,054
Total
Futures
Short
Contracts
(
$
269,398,210)
$8,304,555
Total
Futures
Contracts
$
141,631,917
($7,118,920)
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
13
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$39,897
$–
$–
$40,880
4,913
2.2%
Core
International
Equity
43,762
47,271
5,013
2.5
Core
Low
Volatility
Equity
72,741
40,000
34,073
3,042
1.8
Core
Mid
Cap
Value
54,990
56,722
5,842
3.0
Core
Small
Cap
Value
21,903
21,568
2,396
1.2
Global
Stock
65,070
895
71,357
5,783
3.8
High
Yield
9,654
406
8,200
2,012
505
0.1
Income
5,200
149
4,320
1,001
121
0.1
International
Allocation
124,296
3,545
132,382
15,478
7.1
International
Index
10,104
229
10,740
895
0.6
Large
Cap
Value
93,781
6,542
95,974
4,816
5.1
Limited
Maturity
Bond
9,991
216
8,200
2,094
223
0.1
Mid
Cap
Stock
109,957
6,197
115,108
6,385
6.2
Small
Cap
Stock
68,888
9,673
69,643
4,366
3.7
Total
U.S.
Affiliated
Registered
Investment
Companies
675,244
700,825
37.5
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
240,088
218,636
245,349
213,375
21,337
11.4
Total
Affiliated
Short-Term
Investments
240,088
213,375
11.4
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
720
98,696
98,369
1,047
1,047
<0.1
Total
Collateral
Held
for
Securities
Loaned
720
1,047
<0.1
Total
Value
$916,052
$915,247
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$–
$983
$
$–
Core
International
Equity
3,509
Core
Low
Volatility
Equity
1,544
(212)
Core
Mid
Cap
Value
Fund
1,732
Core
Small
Cap
Value
Fund
(335)
Global
Stock
5,392
894
High
Yield
(1,586)
1,738
406
Income
(905)
877
149
International
Allocation
4,541
3,545
International
Index
407
228
Large
Cap
Value
(4,349)
4,868
1,673
Limited
Maturity
Bond
(385)
472
217
Mid
Cap
Stock
(1,046)
5,708
490
Small
Cap
Stock
(8,917)
9,234
438
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
8,899
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$16,939
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
12
Total
Affiliated
Income
from
Securities
Loaned,
Net
$12
Total
Value
($1,332)
$4,792
$
19,810
All
Cap
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
14
Shares
Common
Stock
(
96.7%
)
Value
Communications
Services
(6.5%)
40,950
Alphabet,
Inc.,
Class
C
a
$
5,399,257
18,787
Comcast
Corporation
833,016
10,470
Meta
Platforms,
Inc.
a
3,143,199
7,010
Walt
Disney
Company
a
568,160
Total
9,943,632
Consumer
Discretionary
(9.4%)
30,689
Amazon.com,
Inc.
a
3,901,186
6,400
Caesars
Entertainment,
Inc.
a
296,640
25,640
Clarus
Corporation
193,838
45,587
Everi
Holdings,
Inc.
a
602,660
6,521
Grand
Canyon
Education,
Inc.
a
762,175
1,984
Home
Depot,
Inc.
599,485
3,072
Lear
Corporation
412,262
10,965
Lowe's
Companies,
Inc.
2,278,966
8,940
NIKE,
Inc.
854,843
160
NVR,
Inc.
a
954,128
1,370
O'Reilly
Automotive,
Inc.
a
1,245,138
8,486
Sony
Group
Corporation
ADR
699,331
1,152
Tesla,
Inc.
a
288,253
4,730
Tractor
Supply
Company
960,427
4,909
Wyndham
Hotels
&
Resorts,
Inc.
341,372
Total
14,390,704
Consumer
Staples
(6.8%)
19,599
BJ's
Wholesale
Club
Holdings,
Inc.
a
1,398,781
2,700
Casey's
General
Stores,
Inc.
733,104
4,840
Celsius
Holdings,
Inc.
a
830,544
96,172
Coty,
Inc.
a
1,055,007
5,662
Dollar
Tree,
Inc.
a
602,720
3,976
Kenvue,
Inc.
79,838
3,829
Lamb
Weston
Holdings,
Inc.
354,029
23,160
Philip
Morris
International,
Inc.
2,144,153
20,603
Sysco
Corporation
1,360,828
12,760
Turning
Point
Brands,
Inc.
294,628
9,840
Walmart,
Inc.
1,573,711
Total
10,427,343
Energy
(3.9%)
11,928
Devon
Energy
Corporation
568,966
14,597
Exxon
Mobil
Corporation
1,716,315
65,266
NOV,
Inc.
1,364,059
3,086
Pioneer
Natural
Resources
Company
708,391
79,466
TechnipFMC
plc
1,616,339
Total
5,974,070
Financials
(12.2%)
30,791
Ally
Financial,
Inc.
821,504
6,760
American
Express
Company
1,008,524
5,486
Ameriprise
Financial,
Inc.
1,808,624
16,130
Arch
Capital
Group,
Ltd.
a
1,285,722
30,010
Bank
of
America
Corporation
821,674
4,711
Berkshire
Hathaway,
Inc.
a
1,650,263
19,850
Cadence
Bank
421,217
4,280
Houlihan
Lokey,
Inc.
458,474
9,080
Intercontinental
Exchange,
Inc.
998,982
13,838
J.P.
Morgan
Chase
&
Company
2,006,787
2,381
Kinsale
Capital
Group,
Inc.
986,043
6,944
Marsh
&
McLennan
Companies,
Inc.
1,321,443
6,000
Mastercard,
Inc.
2,375,460
7,728
Morgan
Stanley
631,146
21,029
Old
National
Bancorp
305,762
Shares
Common
Stock
(96.7%)
Value
Financials
(12.2%)
-
continued
18,174
Wells
Fargo
&
Company
$
742,590
5,960
Western
Alliance
Bancorp
273,981
1,880
Zurich
Insurance
Group
AG
860,205
Total
18,778,401
Health
Care
(13.6%)
7,356
Abbott
Laboratories
712,428
24,979
AstraZeneca
plc
ADR
1,691,578
8,427
Baxter
International,
Inc.
318,035
1,294
Biogen,
Inc.
a
332,571
7,520
Bio-Techne
Corporation
511,886
3,507
Cencora,
Inc.
631,155
4,251
CVS
Health
Corporation
296,805
2,993
Danaher
Corporation
742,563
4,160
Dexcom,
Inc.
a
388,128
4,230
Elevance
Health,
Inc.
1,841,827
16,190
Gilead
Sciences,
Inc.
1,213,279
9,270
Halozyme
Therapeutics,
Inc.
a
354,114
2,830
HCA
Healthcare,
Inc.
696,123
2,462
Intuitive
Surgical,
Inc.
a
719,618
3,030
IQVIA
Holding,
Inc.
a
596,152
8,029
Johnson
&
Johnson
1,250,517
4,717
Laboratory
Corporation
of
America
Holdings
948,353
6,902
Lantheus
Holdings,
Inc.
a
479,551
50,439
Maravai
LifeSciences
Holdings,
Inc.
a
504,390
19,400
Merck
&
Company,
Inc.
1,997,230
13,040
Novo
Nordisk
AS
ADR
a
1,185,858
3,599
UnitedHealth
Group,
Inc.
1,814,580
8,661
Zimmer
Biomet
Holdings,
Inc.
971,937
3,348
Zoetis,
Inc.
582,485
Total
20,781,163
Industrials
(11.6%)
5,010
Advanced
Drainage
Systems,
Inc.
570,288
12,983
Badger
Infrastructure
Solutions,
Ltd.
331,589
5,673
Cummins,
Inc.
1,296,054
13,941
Fastenal
Company
761,736
6,034
FedEx
Corporation
1,598,527
34,117
Fluor
Corporation
a
1,252,094
4,076
General
Dynamics
Corporation
900,674
4,188
Honeywell
International,
Inc.
773,691
13,583
Howmet
Aerospace,
Inc.
628,214
41,270
Janus
International
Group,
Inc.
a
441,589
13,865
Knight-Swift
Transportation
Holdings,
Inc.
695,330
61,913
Masterbrand,
Inc.
a
752,243
5,811
Maximus,
Inc.
433,965
2,690
Middleby
Corporation
a
344,320
14,495
Moog,
Inc.
1,637,355
7,772
Simpson
Manufacturing
Company,
Inc.
1,164,323
12,913
Timken
Company
948,976
10,215
TransUnion
733,335
17,595
Uber
Technologies,
Inc.
a
809,194
17,968
V2X,
Inc.
a
928,227
18,540
WillScot
Mobile
Mini
Holdings
Corporation
a
771,079
Total
17,772,803
Information
Technology
(23.5%)
1,215
Adobe,
Inc.
a
619,528
2,880
ANSYS,
Inc.
a
856,944
All
Cap
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
15
Shares
Common
Stock
(96.7%)
Value
Information
Technology
(23.5%)
-
continued
39,730
Apple,
Inc.
$
6,802,173
20,237
Applied
Materials,
Inc.
2,801,813
4,251
Arista
Networks,
Inc.
a
781,886
7,720
Ciena
Corporation
a
364,847
38,580
Cisco
Systems,
Inc.
2,074,061
9,480
Cognex
Corporation
402,331
7,850
Crane
NXT
Company
436,225
10,416
Descartes
Systems
Group,
Inc.
a
764,326
8,650
Entegris,
Inc.
812,322
569
Fair
Isaac
Corporation
a
494,194
9,690
Lattice
Semiconductor
Corporation
a
832,662
1,490
Littelfuse,
Inc.
368,507
26,526
Microsoft
Corporation
8,375,585
2,380
NICE,
Ltd.
ADR
a,b
404,600
4,679
NVIDIA
Corporation
2,035,318
3,251
Palo
Alto
Networks,
Inc.
a
762,164
6,016
QUALCOMM,
Inc.
668,137
7,063
Salesforce,
Inc.
a
1,432,235
1,672
ServiceNow,
Inc.
a
934,581
5,268
Texas
Instruments,
Inc.
837,665
2,338
Tyler
Technologies,
Inc.
a
902,795
2,863
Universal
Display
Corporation
449,462
8,414
Workiva,
Inc.
a
852,675
Total
36,067,036
Materials
(4.3%)
55,341
Axalta
Coating
Systems,
Ltd.
a
1,488,673
6,300
Ball
Corporation
313,614
12,220
Berry
Plastics
Group,
Inc.
756,540
13,270
Carpenter
Technology
Corporation
891,877
10,805
PPG
Industries,
Inc.
1,402,489
3,563
Steel
Dynamics,
Inc.
382,025
20,258
Summit
Materials,
Inc.
a
630,834
51,924
Tronox
Holdings
plc
697,858
Total
6,563,910
Real
Estate
(2.8%)
6,040
Agree
Realty
Corporation
333,650
3,490
Alexandria
Real
Estate
Equities,
Inc.
349,349
4,390
AvalonBay
Communities,
Inc.
753,939
4,130
Camden
Property
Trust
390,615
1,450
Equinix,
Inc.
1,053,077
5,780
FirstService
Corporation
841,221
5,529
Prologis,
Inc.
620,409
Total
4,342,260
Utilities
(2.1%)
13,890
CenterPoint
Energy,
Inc.
372,946
7,265
Duke
Energy
Corporation
641,209
3,750
Entergy
Corporation
346,875
9,040
NextEra
Energy,
Inc.
517,902
13,499
NiSource,
Inc.
333,155
6,643
NorthWestern
Corporation
319,263
7,947
Portland
General
Electric
Company
321,695
5,283
Spire,
Inc.
298,912
Total
3,151,957
Total
Common
Stock
(cost
$128,521,970)
148,193,279
Shares
Registered
Investment
Companies
(
1.5%
)
Value
U.S.
Unaffiliated  (1.5%)
30,163
SPDR
Portfolio
S&P
1500
Composite
Stock
Market
ETF
$
1,583,256
3,668
SPDR
S&P
Semiconductor
ETF
718,965
Total
2,302,221
Total
Registered
Investment
Companies
(cost
$2,303,059)
2,302,221
Shares
Collateral
Held
for
Securities
Loaned
(
0.2%
)
Value
376,750
Thrivent
Cash
Management
Trust
376,750
Total
Collateral
Held
for
Securities
Loaned
(cost
$376,750)
376,750
Shares
Short-Term
Investments
(
1.8%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
269,188
5.650%
2,691,880
Total
Short-Term
Investments
(cost
$2,691,429)
2,691,880
Total
Investments
(cost
$133,893,208)
100.2%
$153,564,130
Other
Assets
and
Liabilities,
Net
(0.2%)
(327,954)
Total
Net
Assets
100.0%
$153,236,176
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
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
374,000
Total
lending
$374,000
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$376,750
Net
amounts
due
to
counterparty
$2,750
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
plc
-
Public
Limited
Company
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
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
16
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
9,943,632
9,943,632
Consumer
Discretionary
14,390,704
14,390,704
Consumer
Staples
10,427,343
10,427,343
Energy
5,974,070
5,974,070
Financials
18,778,401
17,918,196
860,205
Health
Care
20,781,163
20,781,163
Industrials
17,772,803
17,441,214
331,589
Information
Technology
36,067,036
36,067,036
Materials
6,563,910
6,563,910
Real
Estate
4,342,260
4,342,260
Utilities
3,151,957
3,151,957
Registered
Investment
Companies
U.S.
Unaffiliated
2,302,221
2,302,221
Subtotal
Investments
in
Securities
$150,495,500
$149,303,706
$1,191,794
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
2,691,880
Collateral
Held
for
Securities
Loaned
376,750
Subtotal
Other
Investments
$3,068,630
Total
Investments
at
Value
$153,564,130
*
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
the
table
above
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$2,637
$22,078
$22,023
$2,692
269
1.8%
Total
Affiliated
Short-Term
Investments
2,637
2,692
1.8
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
601
27,816
28,040
377
377
0.2
Total
Collateral
Held
for
Securities
Loaned
601
377
0.2
Total
Value
$3,238
$3,069
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$0
($0)
$
$125
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$125
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
5
Total
Affiliated
Income
from
Securities
Loaned,
Net
$5
Total
Value
$0
($0)
$
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
17
Principal
Amount
Bank
Loans
(
6.0%
)
a
Value
Basic
Materials
(0.2%)
Arsenal
AIC
Parent,
LLC,
Term
Loan
$
76,687
9.883%, 
(TSFR1M
+
4.500%),
8/18/2030
b
$
76,463
Grinding
Media,
Inc.,
Term
Loan
84,967
9.530%, 
(TSFR1M
+
4.000%),
10/12/2028
b,c
84,117
INEOS
US
Petrochem,
LLC,
Term
Loan
225,763
8.181%, 
(TSFR1M
+
2.750%),
1/29/2026
b
224,522
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
77,640
8.931%, 
(TSFR1M
+
3.500%),
6/30/2027
b
77,374
Nouryon
USA,
LLC,
Term
Loan
200,964
8.427%, 
(TSFR3M
+
3.000%),
10/1/2025
b
200,629
Spectrum
Group
Buyer,
Inc.,
Term
Loan
76,515
11.953%, 
(TSFR1M
+
6.500%),
5/19/2028
b
73,512
Total
736,617
Capital
Goods
(0.6%)
Ali
Group
North
America
Corporation,
Term
Loan
113,307
7.431%, 
(TSFR1M
+
2.000%),
7/22/2029
b
113,149
Brookfield
WEC
Holdings,
Inc.,
Term
Loan
186,086
8.181%, 
(TSFR1M
+
2.750%),
8/1/2025
b
185,871
BW
Holding,
Inc.,
Term
Loan
80,115
9.573%, 
(TSFR1M
+
4.000%),
12/14/2028
b
71,732
Chart
Industries,
Inc.,
Term
Loan
77,306
9.174%, 
(TSFR1M
+
3.750%),
3/17/2030
b,c
77,306
Charter
Next
Generation,
Inc.,
Term
Loan
222,153
9.181%, 
(TSFR1M
+
3.750%),
12/1/2027
b
219,932
Clydesdale
Acquisition
Holdings,
Inc.,
Term
Loan
214,825
9.591%, 
(TSFR1M
+
4.175%),
4/13/2029
b
211,664
Cornerstone
Building
Brands,
Inc.,
Term
Loan
221,893
8.682%, 
(TSFR1M
+
3.250%),
4/12/2028
b
215,930
Emerald
Debt
Merger
Sub,
LLC,
Term
Loan
168,591
8.316%, 
(TSFR1M
+
3.000%),
5/31/2030
b
168,276
Foley
Products
Company,
LLC,
Term
Loan
68,741
10.290%, 
(SOFRRATE
+
4.750%),
2/16/2029
b
68,383
Proampac
PG
Borrower,
LLC,
Term
Loan
119,205
0.000%, 
(TSFR1M
+
4.500%),
9/26/2028
b,d,e
118,430
Principal
Amount
Bank
Loans
(6.0%)
a
Value
Capital
Goods
(0.6%)
-
continued
Quikrete
Holdings,
Inc.,
Term
Loan
$
77,198
8.056%, 
(TSFR1M
+
2.625%),
1/31/2027
b
$
77,005
169,943
8.181%, 
(TSFR1M
+
2.750%),
3/18/2029
b
169,846
Smyrna
Ready
Mix
Concrete,
LLC,
Term
Loan
160,248
9.666%, 
(TSFR1M
+
4.250%),
4/1/2029
b,c
160,449
TK
Elevator
U.S.
Newco,
Inc.,
Term
Loan
126,725
9.381%, 
(TSFR6M
+
3.500%),
7/31/2027
b
126,344
TransDigm,
Inc.,
Term
Loan
353,225
8.640%, 
(TSFR1M
+
3.250%),
8/24/2028
b
353,169
Vertiv
Group
Corporation,
Term
Loan
124,718
8.192%, 
(TSFR1M
+
2.750%),
3/2/2027
b
124,451
Total
2,461,937
Communications
Services
(0.9%)
Altice
France
SA/France,
Term
Loan
260,664
10.808%, 
(TSFR1M
+
5.500%),
8/31/2028
b
235,315
CCI
Buyer,
Inc.,
Term
Loan
99,975
9.390%, 
(TSFR3M
+
4.000%),
12/17/2027
b
98,538
Cengage
Learning,
Inc.,
Term
Loan
82,540
10.323%, 
(TSFR3M
+
4.750%),
7/14/2026
b
82,044
Charter
Communications
Operating,
LLC,
Term
Loan
312,742
7.116%, 
(TSFR3M
+
1.750%),
2/1/2027
b
312,236
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
231,176
9.130%, 
(TSFR3M
+
3.500%),
8/23/2026
b
224,144
CMG
Media
Corporation,
Term
Loan
156,000
0.000%, 
(LIBOR
3M
+
3.500%),
12/17/2026
b,d,e
142,350
Crown
Subsea
Communications
Holding,
Inc.,
Term
Loan
76,024
10.444%, 
(TSFR1M
+
5.000%),
4/27/2027
b
76,151
115,173
10.694%, 
(TSFR1M
+
5.250%),
4/27/2027
b
115,461
CSC
Holdings,
LLC,
Term
Loan
122,184
7.947%, 
(LIBOR
1M
+
2.500%),
4/15/2027
b
110,372
DIRECTV
Financing,
LLC,
Term
Loan
280,652
10.431%, 
(TSFR1M
+
5.000%),
8/2/2027
b
273,947
Intelsat
Jackson
Holdings
SA,
Term
Loan
149,354
9.772%, 
(TSFR6M
+
4.250%),
2/1/2029
b
148,880
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
18
Principal
Amount
Bank
Loans
(6.0%)
a
Value
Communications
Services
(0.9%)
-
continued
Level
3
Financing,
Inc.,
Term
Loan
$
131,000
7.181%, 
(TSFR1M
+
1.750%),
3/1/2027
b
$
123,500
Lumen
Technologies,
Inc.,
Term
Loan
160,628
7.681%, 
(TSFR1M
+
2.250%),
3/15/2027
b
114,093
McGraw-Hill
Education,
Inc.,
Term
Loan
160,000
10.181%, 
(LIBOR
1M
+
4.750%),
7/30/2028
b,d,e
156,566
MH
Sub
I,
LLC,
Term
Loan
200,785
9.566%, 
(TSFR1M
+
4.250%),
5/3/2028
b
193,976
NEP
Group,
Inc.,
Term
Loan
82,516
8.681%, 
(TSFR1M
+
3.250%),
10/20/2025
b
79,576
Playtika
Holding
Corporation,
Term
Loan
99,975
8.181%, 
(TSFR1M
+
2.750%),
3/11/2028
b
99,788
Radiate
Holdco,
LLC,
Term
Loan
168,502
8.681%, 
(TSFR1M
+
3.250%),
9/25/2026
b
137,427
RLG
Holdings,
LLC,
Term
Loan
80,114
9.681%, 
(TSFR1M
+
4.250%),
7/8/2028
b
75,107
SBA
Senior
Finance
II,
LLC,
Term
Loan
116,509
7.170%, 
(TSFR1M
+
1.750%),
4/11/2025
b,d,e
116,389
UPC
Financing
Partnership,
Term
Loan
77,000
8.372%, 
(TSFR1M
+
2.925%),
1/31/2029
b
75,749
Virgin
Media
Bristol,
LLC,
Term
Loan
190,000
7.947%, 
(TSFR1M
+
2.500%),
1/31/2028
b
184,325
Zayo
Group
Holdings,
Inc.,
Term
Loan
160,240
8.431%, 
(TSFR1M
+
3.000%),
3/9/2027
b
130,485
Ziggo
Financing
Partnership,
Term
Loan
128,000
7.947%, 
(TSFR1M
+
2.500%),
4/30/2028
b
124,906
Total
3,431,325
Consumer
Cyclical
(1.1%)
1011778
B.C.,
ULC,
Term
Loan
311,578
7.566%, 
(TSFR1M
+
2.250%),
9/21/2030
b
310,217
AlixPartners,
LLP,
Term
Loan
141,839
8.181%, 
(TSFR1M
+
2.750%),
2/4/2028
b
141,626
Allied
Universal
Holdco,
LLC,
Term
Loan
310,828
9.166%, 
(TSFR1M
+
3.750%),
5/14/2028
b
299,772
Alterra
Mountain
Company,
Term
Loan
98,000
8.931%, 
(TSFR1M
+
3.500%),
8/17/2028
b
97,674
Principal
Amount
Bank
Loans
(6.0%)
a
Value
Consumer
Cyclical
(1.1%)
-
continued
Arches
Buyer,
Inc.,
Term
Loan
$
53,449
8.666%, 
(TSFR1M
+
3.250%),
12/6/2027
b
$
52,246
Caesars
Entertainment,
Inc.,
Term
Loan
198,005
8.666%, 
(TSFR1M
+
3.250%),
2/6/2030
b
197,882
Carnival
Corporation,
Term
Loan
213,747
8.327%, 
(TSFR1M
+
3.000%),
8/8/2027
b
212,946
Cinemark
USA,
Inc.,
Term
Loan
88,366
9.089%, 
(TSFR1M
+
3.750%),
5/24/2030
b
88,164
Clarios
Global,
LP,
Term
Loan
181,159
9.066%, 
(TSFR1M
+
3.750%),
5/4/2030
b
180,594
Delta
2
Lux
SARL,
Term
Loan
185,000
8.316%, 
(TSFR1M
+
3.000%),
1/15/2030
b
184,815
Ensemble
RCM,
LLC,
Term
Loan
74,611
9.219%, 
(TSFR1M
+
3.750%),
8/1/2026
b
74,638
Fertitta
Entertainment,
LLC/NV,
Term
Loan
76,226
9.316%, 
(TSFR1M
+
4.000%),
1/27/2029
b
75,368
First
Brands
Group,
LLC,
Term
Loan
100,229
10.881%, 
(TSFR6M
+
5.000%),
3/30/2027
b
98,725
GoDaddy
Operating
Company,
LLC,
Term
Loan
122,079
7.816%, 
(TSFR1M
+
2.500%),
11/10/2029
b
122,117
Great
Outdoors
Group,
LLC,
Term
Loan
173,232
9.181%, 
(TSFR1M
+
3.750%),
3/5/2028
b
172,645
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
154,806
8.181%, 
(TSFR1M
+
2.750%),
10/19/2027
b
153,469
IRB
Holding
Corporation,
Term
Loan
178,640
8.416%, 
(TSFR1M
+
3.000%),
12/15/2027
b
177,814
Light
&
Wonder
International,
Inc.,
Term
Loan
188,095
8.434%, 
(TSFR1M
+
3.000%),
4/14/2029
b
187,860
Petco
Health
&
Wellness
Company,
Inc.,
Term
Loan
80,228
8.902%, 
(TSFR3M
+
3.250%),
3/4/2028
b
79,225
PetSmart,
LLC,
Term
Loan
243,377
9.166%, 
(TSFR1M
+
3.750%),
2/12/2028
b
242,377
Pilot
Travel
Centers,
LLC,
Term
Loan
209,323
7.416%, 
(TSFR1M
+
2.000%),
8/6/2028
b
208,948
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
19
Principal
Amount
Bank
Loans
(6.0%)
a
Value
Consumer
Cyclical
(1.1%)
-
continued
Prime
Security
Services
Borrower,
LLC,
Term
Loan
$
249,679
8.192%, 
(TSFR1M
+
2.750%),
9/23/2026
b
$
249,227
Scientific
Games
Holdings,
LP,
Term
Loan
126,720
8.768%, 
(TSFR1M
+
3.500%),
4/4/2029
b
125,875
Staples,
Inc.,
Term
Loan
121,667
10.634%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
104,137
Stars
Group
Holdings
BV,
Term
Loan
73,253
7.902%, 
(TSFR3M
+
2.250%),
7/21/2026
b
73,154
Uber
Technologies,
Inc.,
Term
Loan
94,166
8.159%, 
(TSFR1M
+
2.750%),
3/3/2030
b
94,080
UFC
Holdings,
LLC,
Term
Loan
122,378
8.369%, 
(TSFR3M
+
2.750%),
4/29/2026
b
122,183
Total
4,127,778
Consumer
Non-Cyclical
(1.0%)
AI
Aqua
Merger
Sub,
Inc.,
Term
Loan
242,781
9.084%, 
(TSFR1M
+
3.750%),
7/30/2028
b
240,089
Alltech,
Inc.,
Term
Loan
75,258
9.431%, 
(TSFR1M
+
4.000%),
10/15/2028
b
72,530
Amneal
Pharmaceuticals,
LLC,
Term
Loan
187,004
8.931%, 
(TSFR1M
+
3.500%),
5/4/2025
b
183,264
Bausch
+
Lomb
Corporation,
Term
Loan
196,015
8.755%, 
(TSFR1M
+
3.250%),
5/10/2027
b
190,244
86,021
0.000%, 
(TSFR1M
+
4.000%),
9/14/2028
b,c,d,e
84,838
Chobani,
LLC,
Term
Loan
77,676
8.931%, 
(TSFR1M
+
3.500%),
10/23/2027
b
77,603
DaVita,
Inc.,
Term
Loan
62,563
7.181%, 
(TSFR1M
+
1.750%),
8/12/2026
b
61,742
Elanco
Animal
Health,
Inc.,
Term
Loan
98,623
7.180%, 
(TSFR1M
+
1.750%),
8/1/2027
b
96,637
Froneri
U.S.,
Inc.,
Term
Loan
191,026
7.666%, 
(TSFR3M
+
2.250%),
1/31/2027
b
189,440
Gainwell
Acquisition
Corporation,
Term
Loan
282,819
9.490%, 
(TSFR3M
+
4.000%),
10/1/2027
b
275,482
ICON
Luxembourg
SARL,
Term
Loan
198,192
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
198,034
Principal
Amount
Bank
Loans
(6.0%)
a
Value
Consumer
Non-Cyclical
(1.0%)
-
continued
Jazz
Financing
Lux
SARL,
Term
Loan
$
246,204
8.931%, 
(TSFR1M
+
3.500%),
5/5/2028
b
$
245,966
LifePoint
Health,
Inc.,
Term
Loan
75,314
0.000%, 
(TSFR1M
+
5.500%),
11/16/2028
b,c,d,e
73,055
274,301
9.377%, 
(TSFR3M
+
3.750%),
11/16/2025
b,d,e
273,388
Medline
Borrower,
LP,
Term
Loan
452,407
8.681%, 
(TSFR1M
+
3.250%),
10/21/2028
b
450,914
Organon
&
Company,
Term
Loan
226,708
8.442%, 
(TSFR1M
+
3.000%),
6/2/2028
b
226,028
Packaging
Coordinators
Midco,
Inc.,
Term
Loan
76,412
9.152%, 
(TSFR3M
+
3.500%),
11/30/2027
b
76,006
Phoenix
Newco,
Inc.,
Term
Loan
184,066
8.681%, 
(TSFR1M
+
3.250%),
11/15/2028
b
182,603
PRA
Health
Sciences,
Inc.,
Term
Loan
49,380
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
49,340
Reynolds
Consumer
Products,
LLC,
Term
Loan
142,528
7.166%, 
(TSFR1M
+
1.750%),
2/4/2027
b
142,285
Select
Medical
Corporation,
Term
Loan
125,685
8.316%, 
(TSFR1M
+
3.000%),
3/6/2027
b
125,214
Sotera
Health
Holdings,
LLC,
Term
Loan
167,500
8.181%, 
(TSFR1M
+
2.750%),
12/11/2026
b
165,783
Star
Parent,
Inc.,
Term
Loan
182,400
0.000%, 
(TSFR1M
+
4.000%),
9/28/2030
b,d,e
178,119
Total
3,858,604
Energy
(0.1%)
Buckeye
Partners,
LP,
Term
Loan
124,718
7.666%, 
(TSFR1M
+
2.250%),
11/1/2026
b
124,531
CQP
Holdco,
LP,
Term
Loan
249,144
8.990%, 
(TSFR1M
+
3.500%),
6/4/2028
b
249,086
GIP
II
Blue
Holding,
LP,
Term
Loan
42,929
9.931%, 
(TSFR3M
+
4.500%),
9/29/2028
b
42,983
GIP
III
Stetson
I,
LP,
Term
Loan
68,927
9.666%, 
(TSFR1M
+
4.250%),
7/18/2025
b
68,855
Oryx
Midstream
Services
Permian
Basin,
LLC,
Term
Loan
59,537
8.692%, 
(TSFR3M
+
3.250%),
10/5/2028
b
59,444
Total
544,899
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
20
Principal
Amount
Bank
Loans
(6.0%)
a
Value
Financials
(0.5%)
Acrisure,
LLC,
Term
Loan
$
117,779
8.931%, 
(LIBOR
1M
+
3.500%),
2/15/2027
b
$
115,970
Alliant
Holdings
Intermediate,
LLC,
Term
Loan
48,506
8.831%, 
(TSFR1M
+
3.500%),
11/6/2027
b
48,399
AmWINS
Group,
Inc.,
Term
Loan
188,067
7.681%, 
(TSFR1M
+
2.250%),
2/19/2028
b
186,764
Asurion,
LLC,
Term
Loan
209,088
8.681%, 
(LIBOR
3M
+
3.250%),
12/23/2026
b
204,383
26,375
8.681%, 
(TSFR3M
+
3.250%),
7/31/2027
b
25,452
55,158
9.666%, 
(TSFR1M
+
4.250%),
8/19/2028
b
53,504
Edelman
Financial
Engines
Center,
LLC,
Term
Loan
51,473
8.931%, 
(TSFR1M
+
3.500%),
4/7/2028
b
50,869
First
Eagle
Holdings,
Inc.,
Term
Loan
51,451
7.990%, 
(TSFR3M
+
2.500%),
2/2/2027
b
50,955
FleetCor
Technologies
Operating
Company,
LLC,
Term  Loan
99,978
7.166%, 
(TSFR1M
+
1.750%),
4/30/2028
b
99,546
Focus
Financial
Partners,
LLC,
Term
Loan
85,353
8.566%, 
(TSFR1M
+
3.250%),
6/30/2028
b
85,057
Howden
Group
Holdings,
Ltd.,
Term
Loan
51,471
8.688%, 
(LIBOR
1M
+
3.250%),
11/12/2027
b
51,252
HUB
International,
Ltd.,
Term
Loan
237,500
9.584%, 
(TSFR1M
+
4.250%),
6/20/2030
b
237,896
Hudson
River
Trading,
LLC,
Term
Loan
53,452
8.631%, 
(TSFR1M
+
3.000%),
3/18/2028
b
53,061
Jane
Street
Group,
LLC,
Term
Loan
99,972
8.181%, 
(TSFR1M
+
2.750%),
1/26/2028
b
99,597
Osaic
Holdings,
Inc.,
Term
Loan
44,610
9.816%, 
(TSFR1M
+
4.500%),
8/16/2028
b
44,540
Sedgwick
Claims
Management
Services,
Inc.,
Term
Loan
87,063
9.066%, 
(TSFR1M
+
3.750%),
2/24/2028
b
86,834
Trans
Union,
LLC,
Term
Loan
155,973
7.681%, 
(TSFR1M
+
2.250%),
12/1/2028
b
155,760
USI,
Inc./NY,
Term
Loan
186,120
9.140%, 
(TSFR1M
+
3.750%),
11/22/2029
b
185,835
Principal
Amount
Bank
Loans
(6.0%)
a
Value
Financials
(0.5%)
-
continued
VFH
Parent,
LLC,
Term
Loan
$
76,230
8.418%, 
(TSFR1M
+
3.000%),
1/13/2029
b
$
75,547
Total
1,911,221
Technology
(1.2%)
Amentum
Government
Services
Holdings,
LLC,
Term  Loan
124,737
9.331%, 
(TSFR1M
+
4.000%),
2/15/2029
b
122,788
AthenaHealth
Group,
Inc.,
Term
Loan
343,472
8.568%, 
(PRIME
+
3.250%),
2/15/2029
b,d,e
336,496
Boxer
Parent
Company,
Inc.,
Term
Loan
190,746
9.181%, 
(TSFR1M
+
3.750%),
10/2/2025
b
190,457
Central
Parent,
Inc.,
Term
Loan
223,312
9.640%, 
(TSFR3M
+
4.250%),
7/6/2029
b
223,192
Cloud
Software
Group,
Inc.,
Term
Loan
201,992
9.990%, 
(TSFR3M
+
4.500%),
3/30/2029
b
193,955
Coherent
Corporation,
Term
Loan
115,183
8.181%, 
(TSFR3M
+
2.750%),
7/1/2029
b
114,680
CommScope,
Inc.,
Term
Loan
79,586
8.681%, 
(TSFR1M
+
3.250%),
4/4/2026
b
72,463
CoreLogic,
Inc.,
Term
Loan
102,218
8.931%, 
(TSFR1M
+
3.500%),
6/2/2028
b
94,253
Cornerstone
OnDemand,
Inc.,
Term
Loan
136,613
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
129,612
Dcert
Buyer,
Inc.,
Term
Loan
151,431
9.316%, 
(TSFR6M
+
4.000%),
10/16/2026
b
150,278
Dun
&
Bradstreet
Corporation,
Term
Loan
149,420
8.167%, 
(TSFR1M
+
2.750%),
2/8/2026
b
149,093
Entegris,
Inc.,
Term
Loan
105,734
7.871%, 
(TSFR3M
+
2.500%),
7/6/2029
b
105,701
Gen
Digital,
Inc.,
Term
Loan
144,108
7.416%, 
(TSFR1M
+
2.000%),
9/12/2029
b
143,532
Genesys
Cloud
Services
Holdings
II,
LLC,
Term
Loan
125,038
9.431%, 
(TSFR1M
+
4.000%),
12/1/2027
b
125,038
GTCR
W
Merger
Sub,
LLC,
Term
Loan
249,600
0.000%, 
(TSFR1M
+
3.000%),
9/20/2030
b,d,e
249,418
Informatica,
LLC,
Term
Loan
124,734
8.181%, 
(TSFR1M
+
2.750%),
10/29/2028
b
124,189
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
21
Principal
Amount
Bank
Loans
(6.0%)
a
Value
Technology
(1.2%)
-
continued
Magenta
Buyer,
LLC,
Term
Loan
$
134,970
10.631%, 
(TSFR3M
+
5.000%),
7/27/2028
b
$
100,027
McAfee
Corporation,
Term
Loan
256,404
9.180%, 
(TSFR1M
+
3.750%),
3/1/2029
b
250,073
Mitchell
International,
Inc.,
Term
Loan
156,412
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
153,630
MKS
Instruments,
Inc.,
Term
Loan
224,730
8.166%, 
(TSFR1M
+
2.750%),
8/17/2029
b
224,368
Open
Text
Corporation,
Term
Loan
191,553
8.166%, 
(TSFR1M
+
2.750%),
1/31/2030
b
191,466
Peraton
Corporation,
Term
Loan
387,812
9.166%, 
(TSFR1M
+
3.750%),
2/1/2028
b
386,602
Polaris
Newco,
LLC,
Term
Loan
224,707
9.431%, 
(TSFR3M
+
4.000%),
6/4/2028
b
214,836
Proofpoint,
Inc.,
Term
Loan
166,307
8.681%, 
(TSFR1M
+
3.250%),
8/31/2028
b
164,759
RealPage,
Inc.,
Term
Loan
126,707
8.431%, 
(TSFR1M
+
3.000%),
4/22/2028
b
125,123
Tempo
Acquisition,
LLC,
Term
Loan
121,765
8.316%, 
(TSFR1M
+
2.750%),
8/31/2028
b
121,765
UKG,
Inc.,
Term
Loan
266,290
8.618%, 
(TSFR3M
+
3.250%),
5/3/2026
b
265,320
Verscend
Holding
Corporation,
Term
Loan
183,127
9.431%, 
(TSFR1M
+
4.000%),
8/27/2025
b
182,931
Total
4,906,045
Transportation
(0.3%)
AAdvantage
Loyalty
IP,
Ltd.,
Term
Loan
286,563
10.338%, 
(TSFR3M
+
4.750%),
4/20/2028
b
294,873
Air
Canada,
Term
Loan
237,153
9.128%, 
(TSFR3M
+
3.500%),
8/11/2028
b
237,104
Apple
Bidco,
LLC,
Term
Loan
82,082
8.181%, 
(TSFR1M
+
2.750%),
9/23/2028
b
81,426
Brown
Group
Holding,
LLC,
Term
Loan
99,907
8.166%, 
(TSFR1M
+
2.750%),
6/7/2028
b
98,887
Genesee
&
Wyoming,
Inc.,
Term
Loan
124,708
7.490%, 
(TSFR3M
+
2.000%),
12/30/2026
b
124,434
SkyMiles
IP,
Ltd.,
Term
Loan
226,729
9.076%, 
(TSFR3M
+
3.750%),
10/20/2027
b
234,581
Principal
Amount
Bank
Loans
(6.0%)
a
Value
Transportation
(0.3%)
-
continued
United
Airlines,
Inc.,
Term
Loan
$
284,075
9.182%, 
(TSFR3M
+
3.750%),
4/21/2028
b
$
284,140
Total
1,355,445
Utilities
(0.1%)
PG&E
Corporation,
Term
Loan
183,698
8.431%, 
(TSFR1M
+
3.000%),
6/23/2025
b
183,571
Talen
Energy
Supply,
LLC,
Term
Loan
83,125
9.877%, 
(TSFR1M
+
4.500%),
5/17/2030
b
83,385
Total
266,956
Total
Bank
Loans
(cost
$23,563,747)
23,600,827
Principal
Amount
Long-Term
Fixed
Income
(
44.0%
)
Value
Asset-Backed
Securities
(4.3%)
510
Asset
Backed
Trust
200,000
3.967%, 
5/25/2061,
Ser.
2021-NPL1,
Class
A2
f,g
170,205
249,037
2.116%, 
6/25/2061,
Ser.
2021-NPL2,
Class
A1
f,g
227,654
200,000
4.090%, 
6/25/2061,
Ser.
2021-NPL2,
Class
A2
f,g
170,944
720
East
CLO
I,
Ltd.
500,000
9.576%, 
(TSFR3M
+
4.250%),
1/20/2036,
Ser.
2022-1A,
Class
C
b,f
503,807
Affirm
Asset
Securitization
Trust
550,000
4.300%, 
5/17/2027,
Ser.
2022-A,
Class
1A
f
538,270
650,000
6.610%, 
1/18/2028,
Ser.
2023-A,
Class
A
f
645,791
225,000
6.820%, 
9/15/2028,
Ser.
2023-B,
Class
A
f
225,285
Anchorage
Capital
CLO
21,
Ltd.
250,000
7.988%, 
(TSFR3M
+
2.662%),
10/20/2034,
Ser.
2021-21A,
Class
C
b,f
245,759
Ares
XL
CLO,
Ltd.
250,000
8.370%, 
(TSFR3M
+
3.062%),
1/15/2029,
Ser.
2016-40A,
Class
CRR
b,f
244,718
Babson
CLO,
Ltd.
550,000
8.488%, 
(TSFR3M
+
3.162%),
7/20/2029,
Ser.
2018-3A,
Class
D
b,f
545,592
Barings
CLO,
Ltd.
400,000
8.738%, 
(TSFR3M
+
3.412%),
1/20/2032,
Ser.
2016-2A,
Class
DR2
b,f
392,578
Business
Jet
Securities,
LLC
29,013
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
f
27,201
240,685
4.455%, 
6/15/2037,
Ser.
2022-1A,
Class
A
f
225,013
CarVal
CLO
VIII-C,
Ltd.
650,000
8.346%, 
(TSFR3M
+
3.000%),
10/22/2035,
Ser.
2022-2A,
Class
B1
b,f
653,686
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
22
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Asset-Backed
Securities
(4.3%)
-
continued
CarVal
CLO,
Ltd.
$
350,000
9.034%, 
(TSFR3M
+
3.700%),
4/21/2034,
Ser.
2022-1A,
Class
D
b,f
$
336,115
Cascade
Funding
Mortgage
Trust,
LLC
380,999
4.250%, 
4/25/2033,
Ser.
2023-HB12,
Class
A
b,f
364,695
College
Avenue
Student
Loans,
LLC
86,817
7.084%, 
(TSFR1M
+
1.764%),
11/26/2046,
Ser.
2017-A,
Class
A1
b,f
87,111
Dewolf
Park
CLO,
Ltd.
350,000
8.420%, 
(TSFR3M
+
3.112%),
10/15/2030,
Ser.
2017-1A,
Class
DR
b,f
336,336
FirstKey
Homes
Trust
650,000
1.968%, 
10/19/2037,
Ser.
2020-SFR2,
Class
D
f
590,318
GMAC
Mortgage
Corporation
Loan
Trust
27,572
5.934%, 
(TSFR1M
+
0.614%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,h
15,283
GSAA
Home
Equity
Trust
76,740
4.467%, 
8/25/2034,
Ser.
2004-10,
Class
M2
b,g
66,752
Harley
Marine
Financing,
LLC
396,375
6.682%, 
5/15/2043,
Ser.
2018-1A,
Class
A2
f
395,038
Longfellow
Place
CLO,
Ltd.
375,000
7.870%, 
(TSFR3M
+
2.562%),
4/15/2029,
Ser.
2013-1A,
Class
CR3
b,f
373,958
Madison
Park
Funding
XVIII,
Ltd.
650,000
7.495%, 
(TSFR3M
+
2.162%),
10/21/2030,
Ser.
2015-18A,
Class
CRR
b,f
634,693
Neuberger
Berman
CLO,
Ltd.
350,000
8.570%, 
(TSFR3M
+
3.262%),
10/15/2029,
Ser.
2013-15A,
Class
DR2
b,f
333,352
OZLM
VIII,
Ltd.
300,000
7.220%, 
(TSFR3M
+
1.912%),
10/17/2029,
Ser.
2014-8A,
Class
A2R3
b,f
297,432
Pagaya
AI
Debt
Trust
296,180
7.556%, 
7/15/2030,
Ser.
2023-1,
Class
A
f
297,387
Pagaya
AI
Technology
in
Housing
Trust
400,000
4.250%, 
8/25/2025,
Ser.
2022-1,
Class
B
f
376,713
PPM
CLO
6,
Ltd.
600,000
9.826%, 
(TSFR3M
+
4.500%),
1/20/2031,
Ser.
2022-6A,
Class
C
b,f
599,491
Preferred
Term
Securities
XXIII,
Ltd./Preferred
Term
Securities
XXIII,
Inc.
32,687
5.871%, 
(LIBOR
3M
+
0.200%),
12/22/2036,
Ser.
A-FP
b,f
32,438
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Asset-Backed
Securities
(4.3%)
-
continued
Pretium
Mortgage
Credit
Partners,
LLC
$
450,000
5.438%, 
1/25/2052,
Ser.
2022-NPL1,
Class
A2
f,g
$
406,479
250,000
3.844%, 
6/27/2060,
Ser.
2021-NPL2,
Class
A2
f,g
198,662
275,000
3.721%, 
7/25/2051,
Ser.
2021-NPL3,
Class
A2
f,g
220,118
298,606
2.487%, 
10/25/2051,
Ser.
2021-NPL5,
Class
A1
f,g
280,638
Progress
Residential
Trust
550,000
3.600%, 
4/17/2039,
Ser.
2022-SFR3,
Class
B
f
500,240
Sculptor
CLO,
Ltd.
425,000
7.988%, 
(TSFR3M
+
2.662%),
1/20/2035,
Ser.
28A,
Class
C
b,f
417,998
Silver
Point
CLO
2,
Ltd.
500,000
7.782%, 
(TSFR3M
+
2.700%),
4/20/2035,
Ser.
2023-2A,
Class
A2
b,f
502,815
Stanwich
Mortgage
Loan
Company,
LLC
479,667
2.735%, 
10/16/2026,
Ser.
2021-NPB1,
Class
A1
f,g
437,109
Stratus
CLO,
Ltd.
425,000
8.088%, 
(TSFR3M
+
2.762%),
12/29/2029,
Ser.
2021-1A,
Class
D
b,f
418,638
400,000
8.376%, 
(TSFR3M
+
3.050%),
10/20/2031,
Ser.
2022-3A,
Class
B
b,f
401,035
Unlock
HEA
Trust
350,000
7.000%, 
10/25/2038,
Ser.
2023-1,
Class
A
e,f
330,293
Upstart
Securitization
Trust
343,287
6.590%, 
2/20/2033,
Ser.
2023-1,
Class
A
f
342,588
312,609
6.770%, 
6/20/2033,
Ser.
2023-2,
Class
A
f
312,167
Vericrest
Opportunity
Loan
Transferee
200,000
4.826%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A2
f,g
159,147
250,000
4.949%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A2
f,g
190,007
273,032
2.116%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A1
f,g
254,019
350,000
4.826%, 
4/25/2051,
Ser.
2021-NPL6,
Class
A2
f,g
263,078
200,000
4.949%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A2
f,g
151,221
350,000
4.826%, 
5/25/2051,
Ser.
2021-NPL9,
Class
A2
f,g
264,360
250,000
5.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
f,g
188,363
Whitebox
CLO
III,
Ltd.
300,000
7.770%, 
(TSFR3M
+
2.462%),
10/15/2034,
Ser.
2021-3A,
Class
C
b,f
296,376
Whitebox
CLO
IV,
Ltd.
500,000
7.380%, 
(TSFR3M
+
2.600%),
4/20/2036,
Ser.
2023-4A,
Class
B
b,f
497,434
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
23
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Asset-Backed
Securities
(4.3%)
-
continued
Wind
River
CLO,
Ltd.
$
200,000
7.588%, 
(TSFR3M
+
2.262%),
7/20/2030,
Ser.
2013-1A,
Class
BRR
b,f
$
198,703
Total
17,185,103
Basic
Materials
(0.7%)
Alcoa
Nederland
Holding
BV
84,000
5.500%, 
12/15/2027
f
79,791
Anglo
American
Capital
plc
60,000
3.875%, 
3/16/2029
f
53,766
ATI,
Inc.
57,000
7.250%, 
8/15/2030
56,573
ATI,
Inc.,
Convertible
81,000
3.500%, 
6/15/2025
217,849
Cascades,
Inc./Cascades
USA,
Inc.
50,000
5.125%, 
1/15/2026
f
47,863
Chemours
Company
105,000
5.750%, 
11/15/2028
f
91,129
Cleveland-Cliffs,
Inc.
35,000
5.875%, 
6/1/2027
33,313
80,000
4.625%, 
3/1/2029
f
69,685
Consolidated
Energy
Finance
SA
148,000
5.625%, 
10/15/2028
f
122,285
Ecolab,
Inc.
54,000
2.125%, 
2/1/2032
42,348
EIDP,
Inc.
33,000
4.500%, 
5/15/2026
32,143
First
Quantum
Minerals,
Ltd.
161,000
6.875%, 
10/15/2027
f
154,460
FMC
Corporation
36,000
5.150%, 
5/18/2026
34,975
Glencore
Funding,
LLC
67,000
4.000%, 
3/27/2027
f
62,890
78,000
6.125%, 
10/6/2028
e,f
77,866
36,000
6.375%, 
10/6/2030
e,f
35,903
Hecla
Mining
Company
25,000
7.250%, 
2/15/2028
24,187
Hudbay
Minerals,
Inc.
105,000
4.500%, 
4/1/2026
f
98,236
Illuminate
Buyer,
LLC/Illuminate
Holdings
IV,
Inc.
63,000
9.000%, 
7/1/2028
f
59,500
International
Flavors
&
Fragrances,
Inc.
62,000
1.230%, 
10/1/2025
f
55,577
Methanex
Corporation
69,000
4.250%, 
12/1/2024
67,156
Mineral
Resources,
Ltd.
16,000
9.250%, 
10/1/2028
f
16,160
Mosaic
Company
87,000
4.050%, 
11/15/2027
81,664
Novelis
Corporation
30,000
3.250%, 
11/15/2026
f
26,793
65,000
4.750%, 
1/30/2030
f
56,254
30,000
3.875%, 
8/15/2031
f
23,958
Nutrien,
Ltd.
86,000
4.000%, 
12/15/2026
81,510
OCI
NV
55,000
4.625%, 
10/15/2025
f
52,000
Olin
Corporation
115,000
5.125%, 
9/15/2027
107,526
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Basic
Materials
(0.7%)
-
continued
Peabody
Energy
Corporation,
Convertible
$
79,000
3.250%, 
3/1/2028
i
$
119,093
SCIL
IV,
LLC/SCIL
USA
Holdings,
LLC
76,000
5.375%, 
11/1/2026
f
69,443
SNF
Group
SACA
72,000
3.375%, 
3/15/2030
f
58,111
SunCoke
Energy,
Inc.
75,000
4.875%, 
6/30/2029
f
63,729
Taseko
Mines,
Ltd.
52,000
7.000%, 
2/15/2026
f,i
48,575
Unifrax
Escrow
Issuer
Corporation
64,000
5.250%, 
9/30/2028
f
45,577
United
States
Steel
Corporation
81,000
6.875%, 
3/1/2029
79,627
United
States
Steel
Corporation,
Convertible
92,000
5.000%, 
11/1/2026
226,596
Westlake
Corporation
45,000
3.600%, 
8/15/2026
42,509
Total
2,716,620
Capital
Goods
(1.3%)
Advanced
Drainage
Systems,
Inc.
72,000
6.375%, 
6/15/2030
f
69,152
AECOM
145,000
5.125%, 
3/15/2027
137,330
Amcor
Finance
USA,
Inc.
41,000
5.625%, 
5/26/2033
39,367
Amphenol
Corporation
39,000
4.750%, 
3/30/2026
38,306
Amsted
Industries,
Inc.
80,000
5.625%, 
7/1/2027
f
75,401
20,000
4.625%, 
5/15/2030
f
16,935
ARD
Finance
SA
23,000
6.500%, 
6/30/2027
f
17,352
Ardagh
Packaging
Finance
plc/
Ardagh
Holdings
USA,
Inc.
75,000
5.250%, 
8/15/2027
f
62,587
26,000
5.250%, 
8/15/2027
f
21,697
Boeing
Company
113,000
4.875%, 
5/1/2025
111,058
52,000
2.196%, 
2/4/2026
47,746
67,000
3.250%, 
3/1/2028
60,209
90,000
5.150%, 
5/1/2030
85,995
Bombardier,
Inc.
41,000
7.125%, 
6/15/2026
f
39,723
92,000
7.875%, 
4/15/2027
f
89,769
60,000
6.000%, 
2/15/2028
f
54,432
Brand
Industrial
Services,
Inc.
26,000
10.375%, 
8/1/2030
f
26,040
Builders
FirstSource,
Inc.
45,000
5.000%, 
3/1/2030
f
40,122
Canpack
SA/Canpack
US,
LLC
101,000
3.125%, 
11/1/2025
f
93,171
Carrier
Global
Corporation
75,000
2.722%, 
2/15/2030
62,503
Chart
Industries,
Inc.
87,000
7.500%, 
1/1/2030
f
87,477
Chart
Industries,
Inc.,
Convertible
94,000
1.000%, 
11/15/2024
272,976
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
24
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Capital
Goods
(1.3%)
-
continued
Clean
Harbors,
Inc.
$
116,000
6.375%, 
2/1/2031
f
$
112,795
Clydesdale
Acquisition
Holdings,
Inc.
10,000
6.625%, 
4/15/2029
f
9,298
20,000
8.750%, 
4/15/2030
f
17,153
Cornerstone
Building
Brands,
Inc.
50,000
6.125%, 
1/15/2029
f
37,905
Covanta
Holding
Corporation
53,000
4.875%, 
12/1/2029
f
43,481
CP
Atlas
Buyer,
Inc.
90,000
7.000%, 
12/1/2028
f,i
70,572
Crown
Cork
&
Seal
Company,
Inc.
65,000
7.375%, 
12/15/2026
65,975
Emerald
Debt
Merger
Sub,
LLC
142,000
6.625%, 
12/15/2030
f
136,700
Fluor
Corporation,
Convertible
247,000
1.125%, 
8/15/2029
f
255,275
GFL
Environmental,
Inc.
88,000
4.000%, 
8/1/2028
f
76,891
63,000
3.500%, 
9/1/2028
f
54,237
Greenbrier
Companies,
Inc.,
Convertible
168,000
2.875%, 
4/15/2028
158,256
H&E
Equipment
Services,
Inc.
155,000
3.875%, 
12/15/2028
f
132,354
Herc
Holdings,
Inc.
90,000
5.500%, 
7/15/2027
f
85,109
Howmet
Aerospace,
Inc.
61,000
6.750%, 
1/15/2028
61,426
192,000
3.000%, 
1/15/2029
162,520
Huntington
Ingalls
Industries,
Inc.
67,000
4.200%, 
5/1/2030
60,593
Ingersoll
Rand,
Inc.
20,000
5.700%, 
8/14/2033
19,302
John
Deere
Capital
Corporation
37,000
5.150%, 
9/8/2026
36,883
37,000
4.950%, 
7/14/2028
36,489
84,000
2.800%, 
7/18/2029
73,985
38,000
4.700%, 
6/10/2030
36,542
44,000
3.900%, 
6/7/2032
39,639
21,000
5.150%, 
9/8/2033
20,536
Kaman
Corporation,
Convertible
66,000
3.250%, 
5/1/2024
64,066
L3Harris
Technologies,
Inc.
36,000
5.400%, 
1/15/2027
35,687
Mauser
Packaging
Solutions
Holding
Company
43,000
9.250%, 
4/15/2027
f
37,586
MIWD
Holdco
II,
LLC
39,000
5.500%, 
2/1/2030
f
32,224
Mueller
Water
Products,
Inc.
49,000
4.000%, 
6/15/2029
f
42,674
Nesco
Holdings
II,
Inc.
75,000
5.500%, 
4/15/2029
f
65,813
New
Enterprise
Stone
and
Lime
Company,
Inc.
116,000
5.250%, 
7/15/2028
f
104,083
Northrop
Grumman
Corporation
22,000
4.700%, 
3/15/2033
20,540
OI
European
Group
BV
85,000
4.750%, 
2/15/2030
f
73,938
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Capital
Goods
(1.3%)
-
continued
Otis
Worldwide
Corporation
$
47,000
2.056%, 
4/5/2025
$
44,372
Owens-Brockway
Glass
Container,
Inc.
46,000
6.625%, 
5/13/2027
f
44,845
Pactiv
Evergreen
Group
55,000
4.375%, 
10/15/2028
f
47,721
Parker-Hannifin
Corporation
36,000
4.250%, 
9/15/2027
34,394
Patrick
Industries,
Inc.,
Convertible
66,000
1.750%, 
12/1/2028
62,271
PGT
Innovations,
Inc.
73,000
4.375%, 
10/1/2029
f
67,312
Republic
Services,
Inc.
37,000
3.950%, 
5/15/2028
34,729
Roller
Bearing
Company
of
America,
Inc.
65,000
4.375%, 
10/15/2029
f
55,911
Sealed
Air
Corporation
73,000
6.125%, 
2/1/2028
f
70,702
Silgan
Holdings,
Inc.
35,000
4.125%, 
2/1/2028
31,313
SRM
Escrow
Issuer,
LLC
113,000
6.000%, 
11/1/2028
f
104,351
Textron,
Inc.
67,000
3.650%, 
3/15/2027
62,555
Titan
Acquisition,
Ltd./Titan
Co-
Borrower,
LLC
30,000
7.750%, 
4/15/2026
f
29,400
TransDigm,
Inc.
110,000
6.250%, 
3/15/2026
f
108,084
248,000
5.500%, 
11/15/2027
232,215
Triumph
Group,
Inc.
75,000
9.000%, 
3/15/2028
f
74,160
United
Rentals
North
America,
Inc.
70,000
4.875%, 
1/15/2028
65,387
85,000
4.000%, 
7/15/2030
72,439
Veralto
Corporation
39,000
5.350%, 
9/18/2028
f
38,559
Waste
Connections,
Inc.
21,000
3.200%, 
6/1/2032
17,422
Waste
Management,
Inc.
36,000
4.875%, 
2/15/2029
35,201
Waste
Pro
USA,
Inc.
35,000
5.500%, 
2/15/2026
f
32,682
WESCO
Distribution,
Inc.
130,000
7.250%, 
6/15/2028
f
130,631
Total
5,326,531
Collateralized
Mortgage
Obligations
(3.6%)
A&D
Mortgage
Trust
591,717
6.733%, 
7/25/2068,
Ser.
2023-NQM3,
Class
A1
f,g
590,954
Banc
of
America
Alternative
Loan
Trust
199,895
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
167,063
Banc
of
America
Mortgage
Securities
Trust
26,583
5.127%, 
9/25/2035,
Ser.
2005-H,
Class
2A1
b
22,565
79,699
5.499%, 
9/25/2035,
Ser.
2005-H,
Class
3A1
b
71,789
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
25
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Collateralized
Mortgage
Obligations
(3.6%)
-
continued
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
$
48,726
3.831%, 
1/25/2034,
Ser.
2003-8,
Class
5A
b
$
41,064
CAFL
Issuer,
LLC
350,000
2.239%, 
3/28/2029,
Ser.
2021-RTL1,
Class
A1
f
323,484
CHL
Mortgage
Pass-Through
Trust
99,056
4.063%, 
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
94,244
229,353
6.000%, 
11/25/2037,
Ser.
2007-18,
Class
1A2
91,271
CHNGE
Mortgage
Trust
245,166
3.757%, 
3/25/2067,
Ser.
2022-2,
Class
A1
b,f
225,092
343,157
5.000%, 
5/25/2067,
Ser.
2022-3,
Class
A1
b,f
331,978
376,176
6.525%, 
6/25/2058,
Ser.
2023-2,
Class
A1
f,g
369,371
446,126
5.820%, 
6/25/2067,
Ser.
2022-NQM1,
Class
A3
f,g
429,309
379,427
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
f,g
377,309
494,862
6.000%, 
10/25/2057,
Ser.
2022-4,
Class
A1
f,g
481,684
CIM
Trust
468,975
7.100%, 
4/25/2058,
Ser.
2023-I1,
Class
A3
f,g
465,281
Citigroup
Mortgage
Loan
Trust,
Inc.
77,504
5.500%, 
8/25/2034,
Ser.
2004-NCM2,
Class
1CB1
66,869
181,124
4.259%, 
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
154,546
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
398,147
3.728%, 
11/25/2035,
Ser.
2005-22,
Class
2A1
b
317,022
Credit
Suisse
Mortgage
Trust
322,432
6.567%, 
8/25/2067,
Ser.
2022-ATH3,
Class
A3
b,f
314,706
219,030
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
b,f
173,313
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
131,979
5.250%, 
6/25/2035,
Ser.
2005-3,
Class
4A6
114,479
84,636
3.604%, 
8/25/2035,
Ser.
2005-AR1,
Class
2A3
b
73,493
Eagle
RE,
Ltd.
350,000
9.265%, 
(SOFR30A
+
3.950%),
9/26/2033,
Ser.
2023-1,
Class
M1B
b,e,f
350,000
Federal
Home
Loan
Mortgage
Corporation
391,049
3.500%, 
8/15/2035,
Ser.
345,
Class
C8
j
42,246
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
634,770
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
598,864
445,881
Zero
Coupon, 
9/25/2053,
Ser.
5334,
Class
BO
331,819
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Collateralized
Mortgage
Obligations
(3.6%)
-
continued
$
197,157
3.000%, 
5/15/2027,
Ser.
4046,
Class
GI
j
$
6,202
283,762
3.500%, 
10/15/2032,
Ser.
4119,
Class
KI
j
27,754
336,468
3.000%, 
4/15/2033,
Ser.
4203,
Class
DI
j
17,010
Federal
National
Mortgage
Association
-
REMIC
393,412
4.500%, 
6/25/2052,
Ser.
2022-43,
Class
MA
374,854
470,646
4.000%, 
7/25/2052,
Ser.
2022-37,
Class
PE
442,712
248,533
3.000%, 
7/25/2027,
Ser.
2012-73,
Class
DI
j
8,158
210,994
3.000%, 
7/25/2027,
Ser.
2012-74,
Class
AI
j
7,133
370,662
3.000%, 
8/25/2027,
Ser.
2012-95,
Class
HI
j
9,779
545,274
3.000%, 
11/25/2027,
Ser.
2012-121,
Class
BI
j
21,766
477,611
3.000%, 
12/25/2027,
Ser.
2012-139,
Class
DI
j
17,511
159,846
2.500%, 
1/25/2028,
Ser.
2012-152,
Class
AI
j
5,519
424,285
3.000%, 
1/25/2028,
Ser.
2012-147,
Class
EI
j
13,979
193,580
3.000%, 
2/25/2028,
Ser.
2013-2,
Class
GI
j
7,721
508,996
3.000%, 
3/25/2028,
Ser.
2013-18,
Class
IL
j
15,841
188,762
2.500%, 
6/25/2028,
Ser.
2013-87,
Class
IW
j
7,255
230,457
3.000%, 
11/25/2031,
Ser.
2013-69,
Class
IO
j
6,281
300,376
3.000%, 
2/25/2033,
Ser.
2013-1,
Class
YI
j
25,668
369,789
4.500%, 
1/25/2046,
Ser.
2022-68,
Class
BA
357,441
Flagstar
Mortgage
Trust
153,769
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
b,f
127,645
GCAT
Trust
364,671
5.730%, 
8/25/2067,
Ser.
2022-NQM4,
Class
A3
f,g
353,228
Genworth
Mortgage
Insurance
Corporation
77,493
7.215%, 
(SOFR30A
+
1.900%),
2/25/2034,
Ser.
2021-3,
Class
M1A
b,f
77,596
GMAC
Mortgage
Corporation
Loan
Trust
73,928
3.530%, 
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
59,846
GMACM
Mortgage
Loan
Trust
24,033
3.631%, 
11/19/2035,
Ser.
2005-AR6,
Class
1A1
b
21,478
GS
Mortgage-Backed
Securities
Trust
531,648
5.500%, 
10/27/2053,
Ser.
2023-PJ3,
Class
A16
b,f
513,435
Home
RE,
Ltd.
325,000
8.815%, 
(SOFR30A
+
3.500%),
10/25/2034,
Ser.
2022-1,
Class
M1B
b,f
331,271
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
26
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Collateralized
Mortgage
Obligations
(3.6%)
-
continued
IndyMac
INDA
Mortgage
Loan
Trust
$
530,348
3.803%, 
8/25/2036,
Ser.
2006-AR1,
Class
A1
b
$
424,331
J.P.
Morgan
Mortgage
Trust
208,299
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
b,f
162,002
554,282
5.000%, 
10/25/2053,
Ser.
2023-3,
Class
A4A
b,f
526,784
86,846
4.198%, 
2/25/2036,
Ser.
2006-A1,
Class
2A2
b
65,410
LHOME
Mortgage
Trust
92,802
2.090%, 
2/25/2026,
Ser.
2021-RTL1,
Class
A1
b,f
92,333
Merrill
Lynch
Alternative
Note
Asset
Trust
249,734
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
94,766
MortgageIT
Trust
588,434
5.894%, 
(TSFR1M
+
0.574%),
6/25/2047,
Ser.
2007-1,
Class
1A1
b
471,717
Onslow
Bay
Mortgage
Loan
Trust
307,875
5.700%, 
8/25/2062,
Ser.
2022-NQM7,
Class
A3
f,g
298,806
PRKCM
Trust
474,459
7.087%, 
6/25/2058,
Ser.
2023-AFC2,
Class
A3
f
471,570
Residential
Accredit
Loans,
Inc.
Trust
86,241
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
71,180
79,634
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
59,655
Residential
Asset
Securitization
Trust
109,328
3.785%, 
1/25/2034,
Ser.
2004-IP1,
Class
A1
b
99,489
Residential
Funding
Mortgage
Security
I
Trust
148,628
6.000%, 
7/25/2037,
Ser.
2007-S7,
Class
A20
110,547
ROC
Securities
Trust
Series
675,000
2.487%, 
8/25/2026,
Ser.
2021-RTL1,
Class
A1
b,f
656,778
Structured
Adjustable
Rate
Mortgage
Loan
Trust
52,373
4.570%, 
7/25/2035,
Ser.
2005-15,
Class
4A1
b
43,981
TVC
Mortgage
Trust
300,000
8.250%, 
11/25/2027,
Ser.
2023-RTL1,
Class
A1
f
298,992
Verus
Securitization
Trust
284,913
2.491%, 
11/25/2066,
Ser.
2021-8,
Class
A3
b,f
230,928
585,455
6.560%, 
12/25/2067,
Ser.
2023-1,
Class
A2
f,g
580,708
Total
14,236,875
Commercial
Mortgage-Backed
Securities
(0.4%)
BANK5
2023-5YR1
475,000
6.625%, 
4/15/2056,
Ser.
2023-5YR1,
Class
AS
b
468,252
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Commercial
Mortgage-Backed
Securities
(0.4%)
-
continued
BBCMS
Mortgage
Trust
$
2,245,227
1.325%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
b,j
$
169,375
BFLD
Trust
225,000
7.147%, 
(TSFR1M
+
1.814%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,f
132,471
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
300,000
4.200%, 
5/25/2033,
Ser.
K-157,
Class
A2
h
275,921
GS
Mortgage
Securities
Trust
150,000
7.047%, 
(TSFR1M
+
1.714%),
5/15/2026,
Ser.
2021-ROSS,
Class
B
b,f
126,166
MSWF
Commercial
Mortgage
Trust
300,000
5.752%, 
5/15/2033,
Ser.
2023-1,
Class
A5
295,481
SCOTT
Trust
225,000
5.910%, 
3/15/2040,
Ser.
2023-SFS,
Class
A
f
218,091
Silver
Hill
Trust
61,387
3.102%, 
11/25/2049,
Ser.
2019-1,
Class
A1
b,f
57,797
Total
1,743,554
Communications
Services
(1.5%)
Allen
Media,
LLC/Allen
Media
Co-
Issuer,
Inc.
64,000
10.500%, 
2/15/2028
f
36,606
Altice
Financing
SA
30,000
5.750%, 
8/15/2029
f
24,586
Altice
France
SA/France
85,000
8.125%, 
2/1/2027
f
75,378
75,000
5.125%, 
7/15/2029
f
53,318
70,000
5.500%, 
10/15/2029
f
50,338
AMC
Networks,
Inc.
30,000
5.000%, 
4/1/2024
29,586
112,000
4.250%, 
2/15/2029
68,723
American
Tower
Corporation
73,000
4.400%, 
2/15/2026
70,678
44,000
1.450%, 
9/15/2026
38,777
59,000
5.500%, 
3/15/2028
57,884
41,000
5.800%, 
11/15/2028
40,691
57,000
3.800%, 
8/15/2029
50,702
AT&T,
Inc.
131,000
4.300%, 
2/15/2030
119,289
41,000
5.400%, 
2/15/2034
38,372
Bell
Telephone
Company
of
Canada
40,000
5.100%, 
5/11/2033
37,392
Cable
One,
Inc.,
Convertible
255,000
1.125%, 
3/15/2028
189,720
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
62,000
5.500%, 
5/1/2026
f
59,887
150,000
5.125%, 
5/1/2027
f
139,757
57,000
5.000%, 
2/1/2028
f
51,764
31,000
6.375%, 
9/1/2029
f
28,906
64,000
4.250%, 
2/1/2031
f
50,946
246,000
4.750%, 
2/1/2032
f
196,800
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
27
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Communications
Services
(1.5%)
-
continued
$
63,000
4.250%, 
1/15/2034
f
$
46,385
Cengage
Learning,
Inc.
4,000
9.500%, 
6/15/2024
f
4,003
CenterPoint
Energy,
Inc.,
Convertible
5,600
3.369%, 
9/15/2029
225,848
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
78,000
4.908%, 
7/23/2025
76,218
67,000
5.050%, 
3/30/2029
62,628
Cimpress
plc
58,000
7.000%, 
6/15/2026
54,283
Clear
Channel
Outdoor
Holdings,
Inc.
17,000
7.500%, 
6/1/2029
f,i
12,999
Clear
Channel
Worldwide
Holdings,
Inc.
136,000
5.125%, 
8/15/2027
f
120,767
Comcast
Corporation
45,000
2.350%, 
1/15/2027
40,757
95,000
3.400%, 
4/1/2030
83,796
Connect
Finco
SARL/Connect
US
Finco,
LLC
45,000
6.750%, 
10/1/2026
f
41,971
Crown
Castle,
Inc.
61,000
2.900%, 
3/15/2027
55,328
CSC
Holdings,
LLC
175,000
5.375%, 
2/1/2028
f
142,470
88,000
6.500%, 
2/1/2029
f
72,902
53,000
4.125%, 
12/1/2030
f
37,509
Deutsche
Telekom
International
Finance
BV
113,000
8.750%, 
6/15/2030
129,435
DIRECTV
Financing,
LLC/DIRECTV
Financing
Co-Obligor,
Inc.
151,000
5.875%, 
8/15/2027
f
133,511
DISH
DBS
Corporation
26,000
5.875%, 
11/15/2024
24,200
34,000
5.250%, 
12/1/2026
f
28,895
25,000
7.375%, 
7/1/2028
15,752
45,000
5.750%, 
12/1/2028
f
34,594
39,000
5.125%, 
6/1/2029
21,621
DISH
Network
Corporation
67,000
11.750%, 
11/15/2027
f
67,500
Frontier
Communications
Holdings,
LLC
104,000
5.875%, 
10/15/2027
f
94,585
30,000
6.750%, 
5/1/2029
f,i
23,081
18,000
8.750%, 
5/15/2030
f
17,091
GCI,
LLC
74,000
4.750%, 
10/15/2028
f
63,825
Gray
Escrow
II,
Inc.
105,000
5.375%, 
11/15/2031
f
68,716
Gray
Television,
Inc.
105,000
4.750%, 
10/15/2030
f,i
69,559
Hughes
Satellite
Systems
Corporation
40,000
6.625%, 
8/1/2026
i
34,200
Iliad
Holding
SASU
91,000
6.500%, 
10/15/2026
f
85,496
Lamar
Media
Corporation
41,000
3.625%, 
1/15/2031
33,389
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Communications
Services
(1.5%)
-
continued
LCPR
Senior
Secured
Financing
DAC
$
54,000
6.750%, 
10/15/2027
f
$
49,599
Level
3
Financing,
Inc.
114,000
4.625%, 
9/15/2027
f
81,985
100,000
4.250%, 
7/1/2028
f
62,303
36,000
10.500%, 
5/15/2030
f
36,237
McGraw-Hill
Education,
Inc.
63,000
5.750%, 
8/1/2028
f
54,353
6,000
8.000%, 
8/1/2029
f
5,205
Meta
Platforms,
Inc.
40,000
4.600%, 
5/15/2028
39,129
41,000
4.800%, 
5/15/2030
39,936
News
Corporation
84,000
3.875%, 
5/15/2029
f
72,240
NTT
Finance
Corporation
54,000
1.162%, 
4/3/2026
f
48,470
Outfront
Media
Capital,
LLC/
Outfront
Media
Capital
Corporation
48,000
6.250%, 
6/15/2025
f
47,027
35,000
4.625%, 
3/15/2030
f,i
27,514
Paramount
Global
75,000
6.375%, 
3/30/2062
b
58,906
36,000
4.750%, 
5/15/2025
35,015
Playtika
Holding
Corporation
61,000
4.250%, 
3/15/2029
f
50,935
Radiate
Holdco,
LLC/Radiate
Finance,
Inc.
40,000
6.500%, 
9/15/2028
f
21,000
Rogers
Communications,
Inc.
50,000
5.250%, 
3/15/2082
b,f
44,214
Scripps
Escrow
II,
Inc.
35,000
3.875%, 
1/15/2029
f
26,321
Sirius
XM
Radio,
Inc.
85,000
5.000%, 
8/1/2027
f
77,639
50,000
4.000%, 
7/15/2028
f
42,678
35,000
4.125%, 
7/1/2030
f
28,021
Sprint
Capital
Corporation
89,000
6.875%, 
11/15/2028
91,892
61,000
8.750%, 
3/15/2032
70,568
TEGNA,
Inc.
117,000
4.625%, 
3/15/2028
101,205
Telecom
Italia
Capital
SA
26,000
6.000%, 
9/30/2034
21,678
Telecom
Italia
SPA/Milano
36,000
5.303%, 
5/30/2024
f
35,395
Telesat
Canada/Telesat,
LLC
35,000
4.875%, 
6/1/2027
f
22,680
15,000
6.500%, 
10/15/2027
f
7,650
T-Mobile
USA,
Inc.
59,000
3.500%, 
4/15/2025
56,930
77,000
3.375%, 
4/15/2029
67,725
United
States
Cellular
Corporation
60,000
6.700%, 
12/15/2033
58,350
Uniti
Group,
LP/Uniti
Group
Finance,
Inc./CSL
Capital,
LLC
98,000
4.750%, 
4/15/2028
f
80,025
Univision
Communications,
Inc.
89,000
6.625%, 
6/1/2027
f
82,888
Verizon
Communications,
Inc.
73,000
2.100%, 
3/22/2028
62,703
67,000
3.150%, 
3/22/2030
57,187
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
28
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Communications
Services
(1.5%)
-
continued
$
97,000
2.550%, 
3/21/2031
$
77,235
88,000
2.355%, 
3/15/2032
67,140
Vodafone
Group
plc
62,000
7.000%, 
4/4/2079
b
61,579
VTR
Finance
NV
50,000
6.375%, 
7/15/2028
f
18,662
VZ
Secured
Financing
BV
97,000
5.000%, 
1/15/2032
f
76,199
Walt
Disney
Company
37,000
3.800%, 
3/22/2030
33,561
Warnermedia
Holdings,
Inc.
42,000
3.638%, 
3/15/2025
40,509
106,000
4.054%, 
3/15/2029
94,442
YPSO
Finance
BIS
SA
32,000
10.500%, 
5/15/2027
f
19,958
Total
5,788,302
Consumer
Cyclical
(2.2%)
1011778
B.C.,
ULC/New
Red
Finance,
Inc.
135,000
4.375%, 
1/15/2028
f
121,682
Adient
Global
Holdings,
Ltd.
49,000
4.875%, 
8/15/2026
f
46,214
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation
35,000
6.625%, 
7/15/2026
f
33,164
35,000
6.000%, 
6/1/2029
f
26,092
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation/
Atlas
Luxco
4
SARL
100,000
4.625%, 
6/1/2028
f
83,336
50,000
4.625%, 
6/1/2028
f
41,510
Allison
Transmission,
Inc.
48,000
3.750%, 
1/30/2031
f
38,803
Amazon.com,
Inc.
45,000
1.500%, 
6/3/2030
35,625
77,000
4.700%, 
12/1/2032
73,517
American
Axle
&
Manufacturing,
Inc.
127,000
6.500%, 
4/1/2027
120,578
American
Honda
Finance
Corporation
41,000
4.600%, 
4/17/2030
38,891
Arko
Corporation
46,000
5.125%, 
11/15/2029
f
37,101
Ashton
Woods
USA,
LLC/Ashton
Woods
Finance
Company
45,000
4.625%, 
8/1/2029
f
37,974
43,000
4.625%, 
4/1/2030
f
35,200
Best
Buy
Company,
Inc.
45,000
1.950%, 
10/1/2030
35,087
Bloomin'
Brands,
Inc.,
Convertible
26,000
5.000%, 
5/1/2025
56,924
Booking
Holdings,
Inc.,
Convertible
77,000
0.750%, 
5/1/2025
128,590
Boyd
Gaming
Corporation
65,000
4.750%, 
6/15/2031
f
55,313
Boyne
USA,
Inc.
33,000
4.750%, 
5/15/2029
f
28,864
Brookfield
Residential
Properties,
Inc./Brookfield
Residential
US,
LLC
75,000
6.250%, 
9/15/2027
f
67,524
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Consumer
Cyclical
(2.2%)
-
continued
Burlington
Stores,
Inc.,
Convertible
$
136,000
2.250%, 
4/15/2025
$
131,838
Caesars
Entertainment,
Inc.
115,000
6.250%, 
7/1/2025
f
113,426
35,000
8.125%, 
7/1/2027
f
35,167
73,000
4.625%, 
10/15/2029
f
61,835
Carnival
Corporation
70,000
7.625%, 
3/1/2026
f
68,095
116,000
5.750%, 
3/1/2027
f
105,006
30,000
4.000%, 
8/1/2028
f
26,012
Cedar
Fair,
LP
83,000
5.250%, 
7/15/2029
72,135
Churchill
Downs,
Inc.
45,000
4.750%, 
1/15/2028
f
40,592
35,000
6.750%, 
5/1/2031
f
33,075
Cinemark
USA,
Inc.
97,000
5.875%, 
3/15/2026
f
93,132
Clarios
Global,
LP/Clarios
US
Finance
Company,
Inc.
35,000
8.500%, 
5/15/2027
f,i
34,900
100,000
6.750%, 
5/15/2028
f
97,625
Cracker
Barrel
Old
Country
Store,
Inc.,
Convertible
7,000
0.625%, 
6/15/2026
5,779
D.R.
Horton,
Inc.
16,000
2.600%, 
10/15/2025
14,971
Expedia
Group,
Inc.
67,000
3.250%, 
2/15/2030
56,669
Expedia
Group,
Inc.,
Convertible
264,000
Zero
Coupon, 
2/15/2026
229,363
Ford
Motor
Company
206,000
3.250%, 
2/12/2032
158,757
65,000
6.100%, 
8/19/2032
61,224
Ford
Motor
Company,
Convertible
302,000
Zero
Coupon, 
3/15/2026
296,715
Ford
Motor
Credit
Company,
LLC
47,000
2.300%, 
2/10/2025
44,084
190,000
4.134%, 
8/4/2025
180,136
137,000
2.700%, 
8/10/2026
122,254
76,000
2.900%, 
2/10/2029
62,373
45,000
7.350%, 
3/6/2030
45,570
Forestar
Group,
Inc.
45,000
3.850%, 
5/15/2026
f
40,846
General
Motors
Company
67,000
6.800%, 
10/1/2027
68,374
General
Motors
Financial
Company,
Inc.
68,000
3.950%, 
4/13/2024
67,089
50,000
1.200%, 
10/15/2024
47,522
130,000
2.900%, 
2/26/2025
124,028
35,000
2.750%, 
6/20/2025
32,949
61,000
5.800%, 
6/23/2028
59,592
Goodyear
Tire
&
Rubber
Company
45,000
5.000%, 
7/15/2029
38,759
Guitar
Center
Escrow
Issuer
II,
Inc.
22,000
8.500%, 
1/15/2026
f,i
19,107
Hanesbrands,
Inc.
64,000
4.875%, 
5/15/2026
f,i
58,673
Hilton
Domestic
Operating
Company,
Inc.
111,000
4.875%, 
1/15/2030
101,019
29,000
3.625%, 
2/15/2032
f
23,380
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
29
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Consumer
Cyclical
(2.2%)
-
continued
Hilton
Grand
Vacations
Borrower
Escrow,
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
Inc.
$
56,000
5.000%, 
6/1/2029
f
$
48,577
Home
Depot,
Inc.
62,000
3.250%, 
4/15/2032
53,193
Hyatt
Hotels
Corporation
37,000
5.750%, 
1/30/2027
36,763
Hyundai
Capital
America
27,000
5.500%, 
3/30/2026
f
26,646
67,000
3.000%, 
2/10/2027
f
60,702
45,000
2.100%, 
9/15/2028
f
37,338
International
Game
Technology
plc
120,000
5.250%, 
1/15/2029
f
110,581
Jacobs
Entertainment,
Inc.
39,000
6.750%, 
2/15/2029
f
34,612
Jaguar
Land
Rover
Automotive
plc
92,000
5.500%, 
7/15/2029
f
78,660
KB
Home
60,000
4.800%, 
11/15/2029
52,800
Kohl's
Corporation
38,000
4.625%, 
5/1/2031
25,538
L
Brands,
Inc.
135,000
6.625%, 
10/1/2030
f
126,564
20,000
6.875%, 
11/1/2035
17,862
Lennar
Corporation
34,000
4.750%, 
5/30/2025
33,262
Light
&
Wonder
International,
Inc.
110,000
7.250%, 
11/15/2029
f
107,800
Live
Nation
Entertainment,
Inc.,
Convertible
168,000
2.000%, 
2/15/2025
171,102
211,000
3.125%, 
1/15/2029
f
218,807
Lowe's
Companies,
Inc.
100,000
4.500%, 
4/15/2030
93,311
Macy's
Retail
Holdings,
LLC
65,000
5.875%, 
4/1/2029
f
56,913
Marriott
International,
Inc./MD
40,000
4.900%, 
4/15/2029
38,138
67,000
4.625%, 
6/15/2030
61,718
Marriott
Vacations
Worldwide
Corporation,
Convertible
126,000
Zero
Coupon, 
1/15/2026
110,313
131,000
3.250%, 
12/15/2027
f
114,297
Mattamy
Group
Corporation
55,000
5.250%, 
12/15/2027
f
50,195
McDonald's
Corporation
39,000
4.950%, 
8/14/2033
37,201
Mercedes-Benz
Finance
North
America,
LLC
68,000
1.450%, 
3/2/2026
f
61,652
45,000
5.200%, 
8/3/2026
f
44,545
Michaels
Companies,
Inc.
47,000
5.250%, 
5/1/2028
f,i
37,511
NCL
Corporation,
Ltd.
32,000
3.625%, 
12/15/2024
f
30,730
21,000
5.875%, 
3/15/2026
f
19,388
56,000
5.875%, 
2/15/2027
f
53,254
Nissan
Motor
Company,
Ltd.
30,000
3.522%, 
9/17/2025
f
28,334
32,000
4.345%, 
9/17/2027
f
29,210
39,000
4.810%, 
9/17/2030
f
33,637
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Consumer
Cyclical
(2.2%)
-
continued
Nordstrom,
Inc.
$
28,000
4.375%, 
4/1/2030
i
$
21,540
39,000
4.250%, 
8/1/2031
i
28,284
O'Reilly
Automotive,
Inc.
59,000
3.900%, 
6/1/2029
54,322
PENN
Entertainment,
Inc.
70,000
4.125%, 
7/1/2029
f
57,203
PetSmart,
Inc./PetSmart
Finance
Corporation
120,000
4.750%, 
2/15/2028
f
105,053
64,000
7.750%, 
2/15/2029
f
59,641
Prime
Security
Services
Borrower,
LLC/Prime
Finance,
Inc.
125,000
5.750%, 
4/15/2026
f
121,271
170,000
6.250%, 
1/15/2028
f,i
157,449
Realogy
Group,
LLC/Realogy
Group
Co-Issuer
Corporation
110,000
5.750%, 
1/15/2029
f
79,525
Royal
Caribbean
Cruises,
Ltd.
11,000
11.500%, 
6/1/2025
f
11,612
139,000
4.250%, 
7/1/2026
f
127,448
47,000
9.250%, 
1/15/2029
f
49,653
28,000
7.250%, 
1/15/2030
f
27,751
Scientific
Games
Holdings,
LP/
Scientific
Games
US
FinCo,
Inc.
16,000
6.625%, 
3/1/2030
f
13,800
SeaWorld
Parks
and
Entertainment,
Inc.
53,000
5.250%, 
8/15/2029
f
46,555
Six
Flags
Theme
Parks,
Inc.
25,000
7.000%, 
7/1/2025
f
24,937
Staples,
Inc.
56,000
7.500%, 
4/15/2026
f
46,051
37,000
10.750%, 
4/15/2027
f,i
21,721
Station
Casinos,
LLC
53,000
4.625%, 
12/1/2031
f
42,394
Tapestry,
Inc.
41,000
3.050%, 
3/15/2032
30,035
Target
Corporation
82,000
2.350%, 
2/15/2030
68,530
Tenneco,
Inc.
55,000
8.000%, 
11/17/2028
f
44,756
Toyota
Motor
Credit
Corporation
39,000
4.700%, 
1/12/2033
36,853
Tractor
Supply
Company
41,000
5.250%, 
5/15/2033
38,714
Tripadvisor,
Inc.
15,000
7.000%, 
7/15/2025
f
14,971
Uber
Technologies,
Inc.
60,000
6.250%, 
1/15/2028
f
58,672
Uber
Technologies,
Inc.,
Convertible
212,000
Zero
Coupon, 
12/15/2025
197,778
Vail
Resorts,
Inc.,
Convertible
223,000
Zero
Coupon, 
1/1/2026
196,240
VICI
Properties,
LP/VICI
Note
Company,
Inc.
62,000
4.625%, 
6/15/2025
f
59,873
150,000
5.750%, 
2/1/2027
f
145,210
104,000
3.750%, 
2/15/2027
f
94,371
Viking
Cruises,
Ltd.
113,000
5.875%, 
9/15/2027
f
103,135
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
30
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Consumer
Cyclical
(2.2%)
-
continued
Volkswagen
Group
of
America
Finance,
LLC
$
82,000
4.250%, 
11/13/2023
f
$
81,828
17,000
3.350%, 
5/13/2025
f
16,291
Wabash
National
Corporation
73,000
4.500%, 
10/15/2028
f
61,492
Walmart,
Inc.
60,000
4.000%, 
4/15/2030
56,352
Wyndham
Hotels
&
Resorts,
Inc.
35,000
4.375%, 
8/15/2028
f
31,436
Yum!
Brands,
Inc.
105,000
4.750%, 
1/15/2030
f
94,313
ZF
North
America
Capital,
Inc.
48,000
7.125%, 
4/14/2030
f
47,029
Total
8,729,303
Consumer
Non-Cyclical
(2.0%)
1375209
B.C.,
Ltd.
58,000
9.000%, 
1/30/2028
f,i
57,331
Abbott
Laboratories
150,000
1.400%, 
6/30/2030
119,179
AbbVie,
Inc.
223,000
3.600%, 
5/14/2025
215,519
AdaptHealth,
LLC
46,000
4.625%, 
8/1/2029
f
35,305
Albertsons
Companies,
Inc./
Safeway,
Inc./New
Albertsons,
LP/Albertsons,
LLC
94,000
4.625%, 
1/15/2027
f
88,756
168,000
3.500%, 
3/15/2029
f
143,234
Amgen,
Inc.
60,000
5.150%, 
3/2/2028
59,010
102,000
5.250%, 
3/2/2030
99,653
Anheuser-Busch
InBev
Worldwide,
Inc.
82,000
4.000%, 
4/13/2028
77,596
90,000
4.750%, 
1/23/2029
87,261
Archer-Daniels-Midland
Company
41,000
4.500%, 
8/15/2033
38,110
AstraZeneca
Finance,
LLC
90,000
1.750%, 
5/28/2028
77,036
B&G
Foods,
Inc.
63,000
5.250%, 
4/1/2025
61,823
31,000
5.250%, 
9/15/2027
25,962
44,000
8.000%, 
9/15/2028
f
44,060
BAT
Capital
Corporation
45,000
6.343%, 
8/2/2030
44,324
43,000
7.750%, 
10/19/2032
45,420
Bausch
&
Lomb
Escrow
Corporation
16,000
8.375%, 
10/1/2028
f
16,048
Bausch
Health
Companies,
Inc.
27,000
5.500%, 
11/1/2025
f,i
23,911
141,000
4.875%, 
6/1/2028
f
80,185
41,000
11.000%, 
9/30/2028
f
27,816
Becton,
Dickinson
and
Company
38,000
4.693%, 
2/13/2028
36,840
67,000
2.823%, 
5/20/2030
56,407
BellRing
Brands,
Inc.
49,000
7.000%, 
3/15/2030
f
48,248
BioMarin
Pharmaceutical,
Inc.,
Convertible
180,000
1.250%, 
5/15/2027
i
178,308
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Consumer
Non-Cyclical
(2.0%)
-
continued
Bio-Rad
Laboratories,
Inc.
$
61,000
3.300%, 
3/15/2027
$
56,220
Cargill,
Inc.
79,000
2.125%, 
11/10/2031
f
61,526
Catalent
Pharma
Solutions,
Inc.
58,000
3.125%, 
2/15/2029
f,i
47,571
Central
Garden
&
Pet
Company
115,000
4.125%, 
10/15/2030
95,877
Cheplapharm
Arzneimittel
GmbH
10,000
5.500%, 
1/15/2028
f
9,073
Chobani,
LLC/Chobani
Finance
Corporation,
Inc.
71,000
4.625%, 
11/15/2028
f
62,621
CHS/Community
Health
Systems,
Inc.
64,000
5.625%, 
3/15/2027
f
54,894
19,000
8.000%, 
12/15/2027
f,i
17,717
84,000
6.000%, 
1/15/2029
f
67,837
39,000
5.250%, 
5/15/2030
f
29,647
37,000
4.750%, 
2/15/2031
f
26,186
Cigna
Group
58,000
2.400%, 
3/15/2030
47,625
Constellation
Brands,
Inc.
90,000
3.150%, 
8/1/2029
78,852
16,000
4.900%, 
5/1/2033
14,850
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US,
LLC
86,000
4.750%, 
1/15/2029
f
77,552
58,000
6.625%, 
7/15/2030
f
56,628
CVS
Health
Corporation
41,000
5.000%, 
2/20/2026
40,364
35,000
4.300%, 
3/25/2028
33,124
41,000
5.125%, 
2/21/2030
39,435
41,000
5.300%, 
6/1/2033
38,834
Diageo
Capital
plc
45,000
2.000%, 
4/29/2030
36,506
Edgewell
Personal
Care
Company
50,000
5.500%, 
6/1/2028
f
46,187
Eli
Lilly
&
Company
82,000
4.700%, 
2/27/2033
78,939
Embecta
Corporation
23,000
6.750%, 
2/15/2030
f
18,802
Encompass
Health
Corporation
117,000
4.500%, 
2/1/2028
i
106,601
Energizer
Holdings,
Inc.
35,000
4.750%, 
6/15/2028
f
30,229
85,000
4.375%, 
3/31/2029
f
70,937
Envista
Holdings
Corporation,
Convertible
27,000
1.750%, 
8/15/2028
24,867
Fortrea
Holdings,
Inc.
23,000
7.500%, 
7/1/2030
f
22,379
General
Mills,
Inc.
16,000
4.950%, 
3/29/2033
14,992
Gilead
Sciences,
Inc.
46,000
5.250%, 
10/15/2033
44,869
Grifols
SA
81,000
4.750%, 
10/15/2028
f
69,061
HLF
Financing
SARL,
LLC/
Herbalife
International,
Inc.
124,000
4.875%, 
6/1/2029
f
88,040
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
31
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Consumer
Non-Cyclical
(2.0%)
-
continued
Imperial
Brands
Finance
plc
$
34,000
3.125%, 
7/26/2024
f
$
33,133
Integer
Holdings
Corporation,
Convertible
185,000
2.125%, 
2/15/2028
f
201,002
Jazz
Investments
I,
Ltd.,
Convertible
223,000
2.000%, 
6/15/2026
227,042
Jazz
Securities
DAC
46,000
4.375%, 
1/15/2029
f
40,107
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
Luxembourg
SARL
42,000
6.750%, 
3/15/2034
f
40,866
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
USA
Finance,
Inc.
107,000
2.500%, 
1/15/2027
94,515
52,000
3.625%, 
1/15/2032
41,403
Kenvue,
Inc.
78,000
5.350%, 
3/22/2026
f
77,815
20,000
5.000%, 
3/22/2030
f
19,486
Keurig
Dr.
Pepper,
Inc.
70,000
3.200%, 
5/1/2030
60,366
Kraft
Heinz
Foods
Company
65,000
3.875%, 
5/15/2027
61,235
41,000
6.750%, 
3/15/2032
43,298
Kroger
Company
37,000
4.500%, 
1/15/2029
35,147
Lamb
Weston
Holdings,
Inc.
42,000
4.125%, 
1/31/2030
f
35,916
Legacy
LifePoint
Health,
LLC
35,000
4.375%, 
2/15/2027
f
30,100
LifePoint
Health,
Inc.
34,000
11.000%, 
10/15/2030
f
34,000
Mattel,
Inc.
124,000
3.375%, 
4/1/2026
f
114,663
McKesson
Corporation
35,000
0.900%, 
12/3/2025
31,620
59,000
1.300%, 
8/15/2026
52,502
Medtronic
Global
Holdings
SCA
41,000
4.500%, 
3/30/2033
38,194
ModivCare
Escrow
Issuer,
Inc.
27,000
5.000%, 
10/1/2029
f
19,372
ModivCare,
Inc.
22,000
5.875%, 
11/15/2025
f
20,912
Mozart
Debt
Merger
Sub,
Inc.
89,000
3.875%, 
4/1/2029
f
75,243
48,000
5.250%, 
10/1/2029
f,i
41,486
Mylan,
Inc.
34,000
4.200%, 
11/29/2023
33,893
Nestle
Holdings,
Inc.
82,000
4.950%, 
3/14/2030
f
80,554
Newell
Brands,
Inc.
104,000
4.700%, 
4/1/2026
98,009
Organon
&
Company/Organon
Foreign
Debt
Co-Issuer
BV
96,000
4.125%, 
4/30/2028
f
83,415
48,000
5.125%, 
4/30/2031
f
38,465
Owens
&
Minor,
Inc.
78,000
6.625%, 
4/1/2030
f,i
69,232
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Consumer
Non-Cyclical
(2.0%)
-
continued
Perrigo
Finance
Unlimited
Company
$
84,000
4.375%, 
3/15/2026
$
78,542
Pfizer
Investment
Enterprises
Pte,
Ltd.
55,000
4.450%, 
5/19/2026
53,730
40,000
4.750%, 
5/19/2033
37,811
Philip
Morris
International,
Inc.
123,000
4.875%, 
2/13/2026
120,981
82,000
4.875%, 
2/15/2028
79,440
43,000
5.625%, 
11/17/2029
42,512
43,000
5.750%, 
11/17/2032
41,956
Post
Holdings,
Inc.
56,000
4.500%, 
9/15/2031
f
46,608
Post
Holdings,
Inc.,
Convertible
118,000
2.500%, 
8/15/2027
116,997
Primo
Water
Holdings,
Inc.
85,000
4.375%, 
4/30/2029
f
72,675
Procter
&
Gamble
Company
37,000
1.200%, 
10/29/2030
28,639
RegionalCare
Hospital
Partners
Holdings,
Inc./LifePoint
Health,
Inc.
35,000
9.750%, 
12/1/2026
f
33,884
Roche
Holdings,
Inc.
45,000
1.930%, 
12/13/2028
f
38,424
62,000
2.076%, 
12/13/2031
f
48,923
Royalty
Pharma
plc
105,000
1.200%, 
9/2/2025
95,419
Scotts
Miracle-Gro
Company
32,000
4.500%, 
10/15/2029
26,161
SEG
Holding,
LLC
125,000
5.625%, 
10/15/2028
f
125,312
Simmons
Foods,
Inc.
63,000
4.625%, 
3/1/2029
f
51,680
Spectrum
Brands,
Inc.
50,000
5.000%, 
10/1/2029
f
45,305
40,000
5.500%, 
7/15/2030
f
36,268
65,000
3.875%, 
3/15/2031
f
52,736
Star
Parent,
Inc.
55,000
9.000%, 
10/1/2030
f
55,578
Stryker
Corporation
73,000
3.650%, 
3/7/2028
68,105
Sysco
Corporation
38,000
5.950%, 
4/1/2030
38,315
Takeda
Pharmaceutical
Company,
Ltd.
89,000
5.000%, 
11/26/2028
87,100
Teleflex,
Inc.
120,000
4.625%, 
11/15/2027
110,100
25,000
4.250%, 
6/1/2028
f
22,364
Tenet
Healthcare
Corporation
222,000
5.125%, 
11/1/2027
206,601
71,000
6.125%, 
10/1/2028
i
66,651
68,000
6.750%, 
5/15/2031
f
65,584
Teva
Pharmaceutical
Finance
Netherlands
III
BV
62,000
3.150%, 
10/1/2026
55,259
Topgolf
Callaway
Brands
Corporation,
Convertible
44,000
2.750%, 
5/1/2026
45,650
TreeHouse
Foods,
Inc.
78,000
4.000%, 
9/1/2028
i
63,278
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
32
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Consumer
Non-Cyclical
(2.0%)
-
continued
Unilever
Capital
Corporation
$
50,000
5.000%, 
12/8/2033
$
48,421
Winnebago
Industries,
Inc.,
Convertible
99,000
1.500%, 
4/1/2025
110,682
Wyeth,
LLC
99,000
6.500%, 
2/1/2034
106,473
Zoetis,
Inc.
62,000
5.600%, 
11/16/2032
61,717
Total
7,755,056
Energy
(1.6%)
Antero
Midstream
Partners,
LP/
Antero
Midstream
Finance
Corporation
21,000
5.375%, 
6/15/2029
f
19,227
Antero
Resources
Corporation
31,000
5.375%, 
3/1/2030
f
28,541
Archrock
Partners,
LP/Archrock
Partners
Finance
Corporation
115,000
6.250%, 
4/1/2028
f
107,068
Baytex
Energy
Corporation
57,000
8.500%, 
4/30/2030
f
57,674
BP
Capital
Markets
America,
Inc.
107,000
4.234%, 
11/6/2028
101,742
61,000
4.812%, 
2/13/2033
57,089
BP
Capital
Markets
plc
91,000
4.875%, 
3/22/2030
b,k
81,302
Buckeye
Partners,
LP
70,000
3.950%, 
12/1/2026
62,859
Callon
Petroleum
Company
45,000
7.500%, 
6/15/2030
f,i
43,631
Cheniere
Energy
Partners,
LP
45,000
4.500%, 
10/1/2029
40,746
44,000
3.250%, 
1/31/2032
34,971
55,000
5.950%, 
6/30/2033
f
53,046
Chesapeake
Energy
Corporation
44,000
6.750%, 
4/15/2029
f
43,059
Chord
Energy
Corporation
43,000
6.375%, 
6/1/2026
f
42,162
Civitas
Resources,
Inc.
26,000
8.375%, 
7/1/2028
f
26,455
38,000
8.750%, 
7/1/2031
f
38,816
CNX
Resources
Corporation
33,000
6.000%, 
1/15/2029
f
30,836
CNX
Resources
Corporation,
Convertible
163,000
2.250%, 
5/1/2026
294,704
Columbia
Pipelines
Holding
Company,
LLC
36,000
6.055%, 
8/15/2026
f
36,113
81,000
6.042%, 
8/15/2028
f
80,589
Comstock
Resources,
Inc.
43,000
5.875%, 
1/15/2030
f
37,222
CQP
Holdco,
LP/BIP-V
Chinnok
Holdco,
LLC
53,000
5.500%, 
6/15/2031
f
46,976
Crescent
Energy
Finance,
LLC
64,000
9.250%, 
2/15/2028
f
65,341
CrownRock,
LP/CrownRock
Finance,
Inc.
52,000
5.625%, 
10/15/2025
f
51,165
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Energy
(1.6%)
-
continued
Diamond
Foreign
Asset
Company/
Diamond
Finance,
LLC
$
22,000
8.500%, 
10/1/2030
f
$
22,003
Diamondback
Energy,
Inc.
104,000
3.125%, 
3/24/2031
86,630
DT
Midstream,
Inc.
45,000
4.125%, 
6/15/2029
f,i
38,927
25,000
4.375%, 
6/15/2031
f
21,023
Enbridge,
Inc.
60,000
7.375%, 
1/15/2083
b
57,058
56,000
7.625%, 
1/15/2083
b
53,472
45,000
3.700%, 
7/15/2027
41,833
20,000
5.700%, 
3/8/2033
19,160
Enerflex,
Ltd.
41,000
9.000%, 
10/15/2027
f
40,487
Energy
Transfer,
LP
53,000
6.750%, 
5/15/2025
b,k
48,980
67,000
3.750%, 
5/15/2030
58,363
EnLink
Midstream
Partners,
LP
91,000
4.850%, 
7/15/2026
85,673
Enterprise
Products
Operating,
LLC
45,000
4.150%, 
10/16/2028
42,189
EQM
Midstream
Partners,
LP
157,000
4.750%, 
1/15/2031
f
135,136
EQT
Corporation,
Convertible
91,000
1.750%, 
5/1/2026
252,580
Ferrellgas,
LP/Ferrellgas
Finance
Corporation
48,000
5.375%, 
4/1/2026
f
44,990
Genesis
Energy
LP/Genesis
Energy
Finance
Corporation
89,000
8.875%, 
4/15/2030
86,899
Harvest
Midstream,
LP
108,000
7.500%, 
9/1/2028
f
104,396
Hess
Midstream
Operations,
LP
54,000
5.625%, 
2/15/2026
f
52,177
25,000
5.125%, 
6/15/2028
f
22,995
Hilcorp
Energy
I,
LP/Hilcorp
Finance
Company
70,000
5.750%, 
2/1/2029
f
63,210
64,000
6.250%, 
4/15/2032
f
56,906
Howard
Midstream
Energy
Partners,
LLC
71,000
6.750%, 
1/15/2027
f
67,450
ITT
Holdings,
LLC
65,000
6.500%, 
8/1/2029
f
55,096
Laredo
Petroleum,
Inc.
99,000
7.750%, 
7/31/2029
f
92,102
Marathon
Oil
Corporation
45,000
4.400%, 
7/15/2027
42,326
MEG
Energy
Corporation
74,000
5.875%, 
2/1/2029
f
69,107
MPLX,
LP
113,000
1.750%, 
3/1/2026
102,463
20,000
5.000%, 
3/1/2033
18,225
Murphy
Oil
Corporation
50,000
5.875%, 
12/1/2027
48,520
Nabors
Industries,
Ltd.
115,000
7.250%, 
1/15/2026
f
111,119
National
Fuel
Gas
Company
90,000
5.500%, 
1/15/2026
88,512
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
33
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Energy
(1.6%)
-
continued
New
Fortress
Energy,
Inc.
$
30,000
6.750%, 
9/15/2025
f
$
28,638
Noble
Finance
II,
LLC
59,000
8.000%, 
4/15/2030
f
59,772
Northern
Oil
and
Gas,
Inc.
57,000
8.750%, 
6/15/2031
f
57,428
Northern
Oil
and
Gas,
Inc.,
Convertible
129,000
3.625%, 
4/15/2029
f
159,352
Northriver
Midstream
Finance,
LP
29,000
5.625%, 
2/15/2026
f
27,636
NuStar
Logistics,
LP
49,000
5.750%, 
10/1/2025
47,652
Occidental
Petroleum
Corporation
64,000
6.375%, 
9/1/2028
64,477
ONEOK,
Inc.
68,000
2.200%, 
9/15/2025
63,275
39,000
5.550%, 
11/1/2026
38,746
41,000
5.650%, 
11/1/2028
40,469
Ovintiv,
Inc.
25,000
5.650%, 
5/15/2025
24,857
22,000
5.650%, 
5/15/2028
21,519
41,000
6.250%, 
7/15/2033
39,644
PBF
Holding
Company,
LLC/PBF
Finance
Corporation
44,000
6.000%, 
2/15/2028
41,499
Permian
Resources
Operating,
LLC
50,000
7.000%, 
1/15/2032
f
49,311
Permian
Resources
Operating,
LLC,
Convertible
49,000
3.250%, 
4/1/2028
115,669
Phillips
66
Company
60,000
4.950%, 
12/1/2027
58,798
Pioneer
Natural
Resources
Company
57,000
1.900%, 
8/15/2030
44,719
Pioneer
Natural
Resources
Company,
Convertible
94,000
0.250%, 
5/15/2025
230,244
Plains
All
American
Pipeline,
LP/
PAA
Finance
Corporation
93,000
4.650%, 
10/15/2025
90,297
Precision
Drilling
Corporation
60,000
6.875%, 
1/15/2029
f
56,832
Range
Resources
Corporation
46,000
4.750%, 
2/15/2030
f
40,825
Rockcliff
Energy
II,
LLC
60,000
5.500%, 
10/15/2029
f
53,998
Rockies
Express
Pipeline,
LLC
17,000
4.950%, 
7/15/2029
f
15,142
Schlumberger
Holdings
Corporation
29,000
4.300%, 
5/1/2029
f
27,194
SM
Energy
Company
32,000
6.625%, 
1/15/2027
31,360
35,000
6.500%, 
7/15/2028
33,600
Southwestern
Energy
Company
55,000
5.375%, 
3/15/2030
50,108
33,000
4.750%, 
2/1/2032
28,324
Suburban
Propane
Partners,
LP/
Suburban
Energy
Finance
Corporation
23,000
5.875%, 
3/1/2027
21,965
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Energy
(1.6%)
-
continued
Suncor
Energy,
Inc.
$
40,000
7.150%, 
2/1/2032
$
42,077
Sunoco,
LP/Sunoco
Finance
Corporation
90,000
5.875%, 
3/15/2028
86,338
49,000
4.500%, 
4/30/2030
42,433
Tallgrass
Energy
Partners
LP/
Tallgrass
Energy
Finance
Corporation
100,000
5.500%, 
1/15/2028
f
91,000
Targa
Resources
Partners,
LP
106,000
4.875%, 
2/1/2031
94,939
Teine
Energy,
Ltd.
50,000
6.875%, 
4/15/2029
f
45,875
TransCanada
Trust
105,000
5.875%, 
8/15/2076
b
95,737
Transocean
Titan
Financing,
Ltd.
55,000
8.375%, 
2/1/2028
f
55,963
Transocean,
Inc.
50,000
11.500%, 
1/30/2027
f
52,438
69,350
8.750%, 
2/15/2030
f
70,910
USA
Compression
Partners,
LP/
USA
Compression
Finance
Corporation
65,000
6.875%, 
4/1/2026
63,670
Valaris,
Ltd.
57,000
8.375%, 
4/30/2030
f
57,043
Venture
Global
Calcasieu
Pass,
LLC
67,000
3.875%, 
8/15/2029
f
56,379
49,000
6.250%, 
1/15/2030
f
46,740
40,000
4.125%, 
8/15/2031
f
32,825
Venture
Global
LNG,
Inc.
117,000
8.375%, 
6/1/2031
f
115,018
Weatherford
International,
Ltd.
93,000
8.625%, 
4/30/2030
f
93,712
Williams
Companies,
Inc.
45,000
2.600%, 
3/15/2031
35,840
Total
6,453,628
Financials
(5.3%)
Acrisure,
LLC/Acrisure
Finance,
Inc.
19,000
6.000%, 
8/1/2029
f
15,967
AerCap
Holdings
NV
34,000
5.875%, 
10/10/2079
b,i
33,064
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
59,000
3.150%, 
2/15/2024
58,327
63,000
6.500%, 
7/15/2025
63,073
114,000
3.000%, 
10/29/2028
97,753
Air
Lease
Corporation
32,000
2.300%, 
2/1/2025
30,312
24,000
3.375%, 
7/1/2025
22,800
64,000
4.650%, 
6/15/2026
b,k
56,361
45,000
3.125%, 
12/1/2030
36,642
Aircastle,
Ltd.
65,000
5.250%, 
6/15/2026
b,f,k
51,113
45,000
2.850%, 
1/26/2028
f
38,182
Alliant
Holdings
Intermediate,
LLC/
Alliant
Holdings
Co-Issuer,
Inc.
37,000
6.750%, 
10/15/2027
f
34,410
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
34
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Financials
(5.3%)
-
continued
Ally
Financial,
Inc.
$
67,000
5.750%, 
11/20/2025
$
65,081
128,000
4.700%, 
5/15/2026
b,i,k
87,839
45,000
8.000%, 
11/1/2031
45,434
15,000
6.700%, 
2/14/2033
i
13,021
American
Express
Company
65,000
3.950%, 
8/1/2025
62,879
50,000
3.550%, 
9/15/2026
b,k
39,699
102,000
2.550%, 
3/4/2027
91,965
American
Homes
4
Rent,
LP
45,000
2.375%, 
7/15/2031
34,309
American
International
Group,
Inc.
81,000
5.125%, 
3/27/2033
75,367
AmWINS
Group,
Inc.
53,000
4.875%, 
6/30/2029
f
46,440
Arbor
Realty
Trust,
Inc.,
Convertible
75,000
7.500%, 
8/1/2025
f
75,422
Ares
Capital
Corporation
18,000
4.250%, 
3/1/2025
17,310
104,000
2.150%, 
7/15/2026
91,245
Ares
Capital
Corporation,
Convertible
97,000
4.625%, 
3/1/2024
98,394
Assurant,
Inc.
61,000
6.100%, 
2/27/2026
60,692
Australia
&
New
Zealand
Banking
Group,
Ltd.
102,000
2.950%, 
7/22/2030
b,f
94,686
Aviation
Capital
Group,
LLC
48,000
4.875%, 
10/1/2025
f
46,120
Avolon
Holdings
Funding,
Ltd.
89,000
4.250%, 
4/15/2026
f
83,651
BAC
Capital
Trust
XIV
92,000
6.071%, 
(TSFR3M
+
0.662%),
10/18/2023
b,k
71,116
Banco
Santander
Mexico
SA
17,000
5.375%, 
4/17/2025
f
16,709
Banco
Santander
SA
25,000
4.750%, 
11/12/2026
b,k
18,546
Bank
of
America
Corporation
70,000
4.200%, 
8/26/2024
68,774
158,000
6.250%, 
9/5/2024
b,i,k
155,446
35,000
3.458%, 
3/15/2025
b
34,533
83,000
6.100%, 
3/17/2025
b,k
81,277
85,000
1.319%, 
6/19/2026
b
77,951
32,000
1.197%, 
10/24/2026
b
28,937
80,000
6.125%, 
4/27/2027
b,k
76,650
70,000
1.734%, 
7/22/2027
b
62,031
84,000
4.376%, 
4/27/2028
b
79,317
134,000
3.593%, 
7/21/2028
b
122,371
65,000
4.948%, 
7/22/2028
b
62,456
125,000
5.819%, 
9/15/2029
b
123,466
179,000
3.974%, 
2/7/2030
b
160,760
159,000
2.687%, 
4/22/2032
b
124,965
65,000
2.572%, 
10/20/2032
b
49,946
82,000
2.972%, 
2/4/2033
b
64,662
42,000
3.846%, 
3/8/2037
b
34,161
Bank
of
Montreal
39,000
5.920%, 
9/25/2025
38,914
60,000
5.203%, 
2/1/2028
58,565
42,000
3.088%, 
1/10/2037
b
31,297
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Financials
(5.3%)
-
continued
Bank
of
New
York
Mellon
Corporation
$
65,000
4.596%, 
7/26/2030
b
$
61,182
Bank
of
Nova
Scotia
66,000
5.250%, 
12/6/2024
65,393
51,000
4.900%, 
6/4/2025
b,k
46,645
45,000
1.050%, 
3/2/2026
40,163
Barclays
plc
34,000
4.375%, 
9/11/2024
33,314
41,000
2.852%, 
5/7/2026
b
38,677
80,000
5.501%, 
8/9/2028
b
76,870
68,000
4.972%, 
5/16/2029
b
63,524
51,000
6.224%, 
5/9/2034
b
48,312
41,000
7.119%, 
6/27/2034
b
39,488
Berkshire
Hathaway
Finance
Corporation
128,000
2.875%, 
3/15/2032
107,347
Blackstone
Mortgage
Trust,
Inc.,
Convertible
37,000
5.500%, 
3/15/2027
32,907
Blue
Owl
Capital
Corporation
45,000
4.250%, 
1/15/2026
42,099
Blue
Owl
Credit
Income
Corporation
62,000
4.700%, 
2/8/2027
56,418
Blue
Owl
Technology
Finance
Corporation
22,000
4.750%, 
12/15/2025
f
20,349
67,000
3.750%, 
6/17/2026
f
59,461
BNP
Paribas
SA
67,000
2.819%, 
11/19/2025
b,f
64,349
55,000
3.132%, 
1/20/2033
b,f
43,213
BPCE
SA
32,000
2.375%, 
1/14/2025
f
30,322
Bread
Financial
Holdings,
Inc.,
Convertible
37,000
4.250%, 
6/15/2028
f
39,890
Brixmor
Operating
Partnership,
LP
73,000
2.250%, 
4/1/2028
61,472
Brookfield
Property
REIT,
Inc./BPR
Cumulus,
LLC/BPR
Nimbus,
LLC/GGSI
Sellco,
LLC
19,000
4.500%, 
4/1/2027
f
15,834
Canadian
Imperial
Bank
of
Commerce
67,000
3.945%, 
8/4/2025
64,685
37,000
5.926%, 
10/2/2026
e
36,991
Capital
One
Financial
Corporation
28,000
3.950%, 
9/1/2026
b,k
21,017
61,000
3.273%, 
3/1/2030
b
51,026
Capital
One
NA
48,000
2.280%, 
1/28/2026
b
45,331
Castlelake
Aviation
Finance
DAC
29,000
5.000%, 
4/15/2027
f
26,487
Centene
Corporation
167,000
3.000%, 
10/15/2030
134,704
Charles
Schwab
Corporation
128,000
5.375%, 
6/1/2025
b,k
122,973
79,000
0.900%, 
3/11/2026
70,029
88,000
4.000%, 
6/1/2026
b,k
73,498
39,000
5.875%, 
8/24/2026
38,872
25,000
5.000%, 
6/1/2027
b,k
20,893
59,000
2.000%, 
3/20/2028
49,787
40,000
6.136%, 
8/24/2034
b
38,910
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
35
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Financials
(5.3%)
-
continued
Citigroup,
Inc.
$
78,000
9.699%, 
(TSFR3M
+
4.330%),
10/30/2023
b,k
$
77,851
37,000
5.000%, 
9/12/2024
b,k
34,990
105,000
3.352%, 
4/24/2025
b
103,127
85,000
5.500%, 
9/13/2025
83,974
37,000
1.281%, 
11/3/2025
b
34,945
105,000
3.875%, 
2/18/2026
b,k
89,601
38,000
4.150%, 
11/15/2026
b,k
30,414
159,000
1.122%, 
1/28/2027
b
141,688
91,000
1.462%, 
6/9/2027
b
80,438
78,000
3.070%, 
2/24/2028
b
70,754
29,000
7.375%, 
5/15/2028
b,i,k
28,139
55,000
7.625%, 
11/15/2028
b,k
53,658
180,000
4.075%, 
4/23/2029
b
165,661
41,000
6.174%, 
5/25/2034
b
39,181
Citizens
Financial
Group,
Inc.
65,000
4.000%, 
10/6/2026
b,k
48,174
CNA
Financial
Corporation
40,000
3.950%, 
5/15/2024
39,476
Coinbase
Global,
Inc.,
Convertible
281,000
0.500%, 
6/1/2026
210,919
Comerica,
Inc.
42,000
5.625%, 
7/1/2025
b,i,k
38,484
Commonwealth
Bank
of
Australia
54,000
2.688%, 
3/11/2031
f
41,085
Cooperatieve
Rabobank
UA
35,000
1.339%, 
6/24/2026
b,f
32,206
Corebridge
Financial,
Inc.
42,000
6.875%, 
12/15/2052
b
40,236
42,000
6.050%, 
9/15/2033
f
40,820
Corporate
Office
Properties,
LP
91,000
2.250%, 
3/15/2026
81,928
Corporate
Office
Properties,
LP,
Convertible
24,000
5.250%, 
9/15/2028
f
24,036
Credit
Acceptance
Corporation
100,000
5.125%, 
12/31/2024
f
97,397
Credit
Agricole
SA
45,000
3.250%, 
1/14/2030
f
37,556
Credit
Suisse
Group
AG
22,000
7.500%, 
12/11/2023
*,b,k,l
2,090
32,000
7.250%, 
9/12/2025
b,f,k,l
3,040
Dai-ichi
Life
Insurance
Company,
Ltd.
80,000
5.100%, 
10/28/2024
b,f,k
78,435
Deutsche
Bank
AG/New
York,
NY
152,000
2.129%, 
11/24/2026
b
137,461
64,000
2.311%, 
11/16/2027
b
55,730
62,000
3.742%, 
1/7/2033
b
44,491
Discover
Bank
90,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
b
82,353
Discover
Financial
Services
19,000
6.700%, 
11/29/2032
18,366
Drawbridge
Special
Opportunities
Fund,
LP
100,000
3.875%, 
2/15/2026
f
88,972
Elevance
Health,
Inc.
79,000
5.350%, 
10/15/2025
78,502
124,000
2.550%, 
3/15/2031
100,486
Enact
Holdings,
Inc.
37,000
6.500%, 
8/15/2025
f
36,442
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Financials
(5.3%)
-
continued
Encore
Capital
Group,
Inc.,
Convertible
$
91,000
4.000%, 
3/15/2029
f
$
87,172
Extra
Space
Storage,
LP
44,000
2.400%, 
10/15/2031
33,685
Fifth
Third
Bancorp
84,000
4.500%, 
9/30/2025
b,k
75,229
44,000
4.772%, 
7/28/2030
b
39,943
Fifth
Third
Bank
NA
110,000
3.850%, 
3/15/2026
101,746
First
Horizon
Bank
67,000
5.750%, 
5/1/2030
59,970
First-Citizens
Bank
&
Trust
Company
89,000
6.125%, 
3/9/2028
88,399
Fortress
Transportation
and
Infrastructure
Investors,
LLC
65,000
6.500%, 
10/1/2025
f
63,885
24,000
9.750%, 
8/1/2027
f
24,824
15,000
5.500%, 
5/1/2028
f
13,599
Freedom
Mortgage
Corporation
22,000
12.000%, 
10/1/2028
f
22,371
FS
KKR
Capital
Corporation
45,000
3.400%, 
1/15/2026
41,237
45,000
2.625%, 
1/15/2027
38,535
GGAM
Finance,
Ltd.
57,000
7.750%, 
5/15/2026
f
56,430
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership,
LP
103,000
3.750%, 
12/15/2027
f
79,747
Goldman
Sachs
Group,
Inc.
46,000
5.500%, 
8/10/2024
b,i,k
44,838
31,000
3.500%, 
4/1/2025
29,849
52,000
4.250%, 
10/21/2025
50,111
51,000
0.855%, 
2/12/2026
b
47,263
33,000
3.650%, 
8/10/2026
b,k
26,601
57,000
4.125%, 
11/10/2026
b,k
46,622
60,000
1.948%, 
10/21/2027
b
52,977
42,000
2.640%, 
2/24/2028
b
37,452
124,000
3.615%, 
3/15/2028
b
114,412
86,000
4.482%, 
8/23/2028
b
81,400
90,000
3.814%, 
4/23/2029
b
81,723
44,000
3.800%, 
3/15/2030
38,826
44,000
2.615%, 
4/22/2032
b
34,367
45,000
2.383%, 
7/21/2032
b
34,271
Hartford
Financial
Services
Group,
Inc.
45,000
2.800%, 
8/19/2029
38,600
66,000
7.751%, 
(TSFR3M
+
2.387%),
2/12/2047
b,f
56,108
HAT
Holdings
I,
LLC/HAT
Holdings
II,
LLC,
Convertible
9,000
Zero
Coupon, 
5/1/2025
f
8,685
74,000
3.750%, 
8/15/2028
f
71,919
HSBC
Holdings
plc
65,000
3.803%, 
3/11/2025
b
64,198
20,000
6.375%, 
3/30/2025
b,k
19,212
39,000
2.633%, 
11/7/2025
b
37,370
41,000
1.645%, 
4/18/2026
b
38,106
41,000
1.589%, 
5/24/2027
b
36,152
64,000
2.251%, 
11/22/2027
b
56,494
126,000
4.583%, 
6/19/2029
b
116,492
47,000
4.600%, 
12/17/2030
b,k
35,517
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
36
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Financials
(5.3%)
-
continued
$
53,000
2.804%, 
5/24/2032
b
$
41,051
HUB
International,
Ltd.
78,000
5.625%, 
12/1/2029
f
67,919
Huntington
Bancshares,
Inc.
76,000
4.450%, 
10/15/2027
b,k
61,474
Icahn
Enterprises,
LP/Icahn
Enterprises
Finance
Corporation
55,000
6.375%, 
12/15/2025
52,320
65,000
5.250%, 
5/15/2027
57,134
ING
Groep
NV
90,000
1.726%, 
4/1/2027
b
80,522
46,000
6.083%, 
9/11/2027
b
45,796
Intercontinental
Exchange,
Inc.
62,000
4.350%, 
6/15/2029
58,321
Invitation
Homes
Operating
Partnership,
LP
68,000
2.000%, 
8/15/2031
50,323
J.P.
Morgan
Chase
&
Company
44,000
8.934%, 
(TSFR3M
+
3.562%),
11/1/2023
b,i,k
44,149
111,000
5.000%, 
8/1/2024
b,k
107,289
145,000
4.023%, 
12/5/2024
b
144,356
73,000
4.600%, 
2/1/2025
b,k
68,291
63,000
1.561%, 
12/10/2025
b
59,540
31,000
2.083%, 
4/22/2026
b
29,097
40,000
3.650%, 
6/1/2026
b,k
34,914
190,000
1.045%, 
11/19/2026
b
170,755
90,000
1.578%, 
4/22/2027
b
80,319
81,000
2.947%, 
2/24/2028
b
73,479
134,000
4.005%, 
4/23/2029
b
123,491
45,000
2.069%, 
6/1/2029
b
37,917
179,000
4.493%, 
3/24/2031
b
163,896
42,000
2.963%, 
1/25/2033
b
33,437
44,000
4.912%, 
7/25/2033
b
40,482
42,000
5.717%, 
9/14/2033
b
40,374
29,000
5.350%, 
6/1/2034
b
27,500
Jefferies
Finance,
LLC/JFIN
Co-
Issuer
Corporation
24,000
5.000%, 
8/15/2028
f
20,208
KeyBank
NA/Cleveland,
OH
67,000
3.900%, 
4/13/2029
54,311
77,000
5.000%, 
1/26/2033
64,816
Kilroy
Realty,
LP
58,000
4.250%, 
8/15/2029
49,690
Lincoln
National
Corporation
50,000
7.996%, 
(LIBOR
3M
+
2.358%),
11/17/2023
b,i
34,785
Lloyds
Banking
Group
plc
143,000
1.627%, 
5/11/2027
b
126,831
LPL
Holdings,
Inc.
60,000
4.000%, 
3/15/2029
f
52,312
M&T
Bank
Corporation
116,000
3.500%, 
9/1/2026
b,k
81,576
Macquarie
Group,
Ltd.
89,000
1.629%, 
9/23/2027
b,f
77,750
Manufacturers
&
Traders
Trust
Company
83,000
4.700%, 
1/27/2028
76,655
Marsh
&
McLennan
Companies,
Inc.
40,000
2.375%, 
12/15/2031
31,451
MetLife,
Inc.
84,000
3.850%, 
9/15/2025
b,k
77,707
44,000
5.875%, 
3/15/2028
b,k
41,328
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Financials
(5.3%)
-
continued
$
57,000
6.400%, 
12/15/2036
$
55,696
Metropolitan
Life
Global
Funding
I
73,000
2.950%, 
4/9/2030
f
61,861
Mid-America
Apartments,
LP
90,000
4.200%, 
6/15/2028
84,556
Mitsubishi
UFJ
Financial
Group,
Inc.
41,000
1.412%, 
7/17/2025
37,823
91,000
1.538%, 
7/20/2027
b
80,601
Mizuho
Financial
Group,
Inc.
97,000
1.554%, 
7/9/2027
b
85,769
93,000
2.564%, 
9/13/2031
70,385
40,000
5.748%, 
7/6/2034
b
38,183
Molina
Healthcare,
Inc.
54,000
4.375%, 
6/15/2028
f
48,387
Morgan
Stanley
34,000
5.816%, 
(SOFRRATE
+
0.466%),
11/10/2023
b
34,000
34,000
2.720%, 
7/22/2025
b
32,996
88,000
1.164%, 
10/21/2025
b
83,069
24,000
5.000%, 
11/24/2025
23,523
69,000
2.188%, 
4/28/2026
b
64,818
76,000
6.138%, 
10/16/2026
b
76,072
39,000
0.985%, 
12/10/2026
b
34,794
90,000
1.593%, 
5/4/2027
b
80,107
93,000
1.512%, 
7/20/2027
b
82,174
28,000
5.123%, 
2/1/2029
b
26,964
134,000
3.622%, 
4/1/2031
b
115,437
42,000
2.943%, 
1/21/2033
b
33,075
44,000
4.889%, 
7/20/2033
b
39,980
42,000
5.250%, 
4/21/2034
b
38,996
47,000
5.424%, 
7/21/2034
b
44,335
78,000
2.484%, 
9/16/2036
b
56,658
MPT
Operating
Partnership,
LP/
MPT
Finance
Corporation
50,000
5.250%, 
8/1/2026
42,584
24,000
4.625%, 
8/1/2029
16,998
Nasdaq,
Inc.
37,000
5.350%, 
6/28/2028
36,324
Nationstar
Mortgage
Holdings,
Inc.
49,000
6.000%, 
1/15/2027
f
46,301
NatWest
Group
plc
65,000
4.269%, 
3/22/2025
b
64,304
45,000
4.892%, 
5/18/2029
b
42,088
67,000
3.754%, 
11/1/2029
b
63,794
Necessity
Retail
REIT,
Inc./
American
Finance
Operating
Partner,
LP
55,000
4.500%, 
9/30/2028
f
41,777
New
York
Life
Global
Funding
43,000
4.550%, 
1/28/2033
f
39,420
NFP
Corporation
35,000
6.875%, 
8/15/2028
f
29,984
Nippon
Life
Insurance
Company
168,000
5.100%, 
10/16/2044
b,f
164,850
NNN
REIT,
Inc.
45,000
2.500%, 
4/15/2030
36,366
Nomura
Holdings,
Inc.
67,000
2.172%, 
7/14/2028
55,591
Northern
Trust
Corporation
65,000
4.000%, 
5/10/2027
61,485
Office
Properties
Income
Trust
25,000
2.650%, 
6/15/2026
17,007
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
37
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Financials
(5.3%)
-
continued
Omega
Healthcare
Investors,
Inc.
$
46,000
4.750%, 
1/15/2028
$
42,571
45,000
3.375%, 
2/1/2031
35,181
OneMain
Finance
Corporation
64,000
6.875%, 
3/15/2025
63,493
165,000
3.875%, 
9/15/2028
132,436
Park
Intermediate
Holdings,
LLC
93,000
4.875%, 
5/15/2029
f
78,673
Pebblebrook
Hotel
Trust,
Convertible
304,000
1.750%, 
12/15/2026
252,138
Pine
Street
Trust
I
45,000
4.572%, 
2/15/2029
f
40,492
PNC
Bank
NA
45,000
2.700%, 
10/22/2029
36,610
PNC
Financial
Services
Group,
Inc.
102,000
5.671%, 
10/28/2025
b
101,213
60,000
3.400%, 
9/15/2026
b,k
44,386
57,000
6.200%, 
9/15/2027
b,k
52,383
36,000
5.582%, 
6/12/2029
b
34,924
58,000
6.250%, 
3/15/2030
b,k
49,718
PRA
Group,
Inc.
53,000
7.375%, 
9/1/2025
f
51,609
44,000
8.375%, 
2/1/2028
f
40,040
Principal
Life
Global
Funding
II
68,000
1.250%, 
8/16/2026
f
59,513
Prologis,
LP
75,000
3.375%, 
12/15/2027
68,959
Provident
Financing
Trust
I
42,000
7.405%, 
3/15/2038
41,424
Prudential
Financial,
Inc.
42,000
5.125%, 
3/1/2052
b
36,168
43,000
6.750%, 
3/1/2053
b
41,577
136,000
5.200%, 
3/15/2044
b,i
133,059
42,000
3.700%, 
10/1/2050
b
34,158
Public
Storage
Operating
Company
43,000
5.100%, 
8/1/2033
41,104
QBE
Insurance
Group,
Ltd.
40,000
5.875%, 
5/12/2025
b,f,k
38,022
Quicken
Loans,
LLC
24,000
3.875%, 
3/1/2031
f
19,137
Radian
Group,
Inc.
45,000
4.875%, 
3/15/2027
42,047
Realty
Income
Corporation
45,000
4.875%, 
6/1/2026
44,161
50,000
3.950%, 
8/15/2027
46,880
53,000
5.625%, 
10/13/2032
51,238
Redwood
Trust,
Inc.,
Convertible
13,000
7.750%, 
6/15/2027
11,627
Regions
Financial
Corporation
40,000
2.250%, 
5/18/2025
37,314
49,000
5.750%, 
6/15/2025
b,i,k
46,490
Reinsurance
Group
of
America,
Inc.
44,000
6.000%, 
9/15/2033
42,453
RLJ
Lodging
Trust,
LP
25,000
3.750%, 
7/1/2026
f
22,610
68,000
4.000%, 
9/15/2029
f
55,688
Rocket
Mortgage,
LLC/Rocket
Mortgage
Co-Issuer,
Inc.
60,000
3.625%, 
3/1/2029
f
49,604
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Financials
(5.3%)
-
continued
Royal
Bank
of
Canada
$
78,000
0.750%, 
10/7/2024
$
73,997
53,000
5.000%, 
2/1/2033
49,383
Santander
Holdings
USA,
Inc.
90,000
3.450%, 
6/2/2025
85,599
41,000
2.490%, 
1/6/2028
b
35,599
42,000
6.499%, 
3/9/2029
b
40,961
Santander
UK
Group
Holdings
plc
92,000
1.673%, 
6/14/2027
b
80,472
Service
Properties
Trust
31,000
4.650%, 
3/15/2024
30,577
16,000
4.350%, 
10/1/2024
15,349
55,000
7.500%, 
9/15/2025
54,034
70,000
5.500%, 
12/15/2027
59,824
Simon
Property
Group,
LP
73,000
2.650%, 
7/15/2030
60,053
SLM
Corporation
30,000
4.200%, 
10/29/2025
28,071
Societe
Generale
SA
39,000
2.625%, 
10/16/2024
f
37,484
41,000
1.488%, 
12/14/2026
b,f
36,603
Spirit
Realty,
LP
75,000
3.200%, 
1/15/2027
67,944
Standard
Chartered
plc
41,000
0.991%, 
1/12/2025
b,f
40,321
40,000
6.000%, 
7/26/2025
b,f,i,k
37,988
63,000
2.608%, 
1/12/2028
b,f
55,770
Starwood
Property
Trust,
Inc.,
Convertible
117,000
6.750%, 
7/15/2027
119,867
State
Street
Corporation
36,000
5.272%, 
8/3/2026
35,662
44,000
4.421%, 
5/13/2033
b
39,473
Sumitomo
Life
Insurance
Company
95,000
3.375%, 
4/15/2081
b,f
78,953
Sumitomo
Mitsui
Financial
Group,
Inc.
39,000
2.448%, 
9/27/2024
37,665
63,000
2.174%, 
1/14/2027
56,034
75,000
5.716%, 
9/14/2028
74,020
67,000
2.142%, 
9/23/2030
51,729
54,000
5.766%, 
1/13/2033
52,775
Sumitomo
Mitsui
Trust
Bank,
Ltd.
35,000
1.050%, 
9/12/2025
f
31,882
Summit
Hotel
Properties,
Inc.,
Convertible
101,000
1.500%, 
2/15/2026
84,840
Synchrony
Financial
38,000
4.250%, 
8/15/2024
37,111
15,000
7.250%, 
2/2/2033
13,239
Synovus
Bank
40,000
5.625%, 
2/15/2028
36,243
Toronto-Dominion
Bank
32,000
8.125%, 
10/31/2082
b
31,835
39,000
5.156%, 
1/10/2028
38,064
57,000
5.523%, 
7/17/2028
56,261
44,000
4.456%, 
6/8/2032
39,458
Truist
Bank
42,000
2.250%, 
3/11/2030
32,149
Truist
Financial
Corporation
74,000
6.047%, 
6/8/2027
b
73,195
37,000
1.887%, 
6/7/2029
b
30,384
95,000
5.100%, 
3/1/2030
b,k
81,221
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
38
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Financials
(5.3%)
-
continued
U.S.
Bancorp
$
74,000
5.727%, 
10/21/2026
b
$
73,384
65,000
4.548%, 
7/22/2028
b
61,055
19,000
5.836%, 
6/12/2034
b
17,920
UBS
Group
AG
34,000
2.593%, 
9/11/2025
b,f
32,724
78,000
2.193%, 
6/5/2026
b,f
72,545
88,000
3.869%, 
1/12/2029
b,f
79,709
UDR,
Inc.
89,000
3.000%, 
8/15/2031
72,279
United
Wholesale
Mortgage,
LLC
16,000
5.500%, 
11/15/2025
f
15,219
39,000
5.500%, 
4/15/2029
f
32,955
UnitedHealth
Group,
Inc.
91,000
5.250%, 
2/15/2028
91,155
88,000
4.200%, 
5/15/2032
80,319
USB
Realty
Corporation
49,000
6.717%, 
(TSFR3M
+
1.409%),
1/15/2027
b,f,k
35,643
USI,
Inc./NY
20,000
6.875%, 
5/1/2025
f
19,846
Ventas
Realty,
LP
35,000
3.750%, 
5/1/2024
34,513
Ventas
Realty,
LP,
Convertible
167,000
3.750%, 
6/1/2026
f
162,742
Wells
Fargo
&
Company
106,000
2.406%, 
10/30/2025
b
101,580
116,000
3.900%, 
3/15/2026
b,k
101,308
119,000
2.188%, 
4/30/2026
b
111,733
50,000
6.070%, 
(TSFR3M
+
0.762%),
1/15/2027
b
47,393
41,000
3.526%, 
3/24/2028
b
37,653
89,000
3.584%, 
5/22/2028
b
81,479
65,000
4.808%, 
7/25/2028
b
62,028
58,000
7.625%, 
9/15/2028
b,k
58,474
90,000
4.478%, 
4/4/2031
b
81,652
29,000
5.389%, 
4/24/2034
b
27,112
40,000
5.557%, 
7/25/2034
b
37,875
Welltower
OP,
LLC
45,000
2.050%, 
1/15/2029
37,196
50,000
2.800%, 
6/1/2031
40,012
Welltower
OP,
LLC,
Convertible
253,000
2.750%, 
5/15/2028
f
258,195
Westpac
Banking
Corporation
67,000
4.110%, 
7/24/2034
b
57,862
Willis
North
America,
Inc.
90,000
4.500%, 
9/15/2028
84,400
XHR,
LP
25,000
6.375%, 
8/15/2025
f,i
24,545
27,000
4.875%, 
6/1/2029
f
22,950
Total
20,781,625
Foreign
Government
(<0.1%)
NBN
Company,
Ltd.
82,000
2.625%, 
5/5/2031
f
66,088
Total
66,088
Mortgage-Backed
Securities
(12.9%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
1,850,253
2.500%, 
5/1/2051
1,476,597
1,025,901
3.500%, 
5/1/2052
883,436
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Mortgage-Backed
Securities
(12.9%)
-
continued
$
1,124,180
4.000%, 
5/1/2052
$
1,008,932
3,252,970
3.500%, 
6/1/2052
2,803,280
2,821,855
5.000%, 
7/1/2053
2,671,173
769,854
5.500%, 
7/1/2053
746,956
400,000
5.500%, 
9/1/2053
388,101
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
1,227,387
2.500%, 
7/1/2030
1,118,775
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
937,809
3.500%, 
5/1/2040
833,126
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,822,827
3.000%, 
1/1/2052
2,349,999
420,525
2.000%, 
2/1/2051
322,087
270,824
2.000%, 
2/1/2051
207,107
1,286,086
2.500%, 
2/1/2051
1,030,568
1,384,315
2.500%, 
2/1/2051
1,107,053
2,667,686
2.000%, 
3/1/2051
2,038,828
2,907,181
3.000%, 
3/1/2052
2,410,952
1,822,681
2.000%, 
4/1/2051
1,392,825
1,730,666
3.000%, 
4/1/2051
1,436,834
1,791,398
3.000%, 
5/1/2050
1,498,886
495,203
2.000%, 
5/1/2051
377,670
924,599
3.000%, 
5/1/2051
777,308
964,497
3.000%, 
6/1/2050
814,709
1,618,683
5.000%, 
6/1/2053
1,534,754
2,120,505
2.500%, 
7/1/2051
1,692,732
715,393
3.500%, 
7/1/2051
625,550
867,384
2.500%, 
8/1/2050
700,225
1,511,365
3.500%, 
8/1/2050
1,322,953
1,269,324
3.500%, 
9/1/2052
1,097,505
937,442
4.500%, 
9/1/2053
861,722
1,871,762
4.000%, 
10/1/2052
1,671,876
515,444
2.000%, 
11/1/2051
393,579
2,031,712
2.000%, 
12/1/2050
1,556,177
3,532,622
4.500%, 
12/1/2052
3,257,882
2,050,000
4.000%, 
10/1/2048
e
1,824,980
1,300,000
4.500%, 
10/1/2048
e
1,193,562
2,525,000
5.000%, 
10/1/2048
e
2,382,180
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
2,336,394
2.500%, 
3/1/2062
1,793,080
845,378
3.500%, 
7/1/2061
719,004
967,128
4.000%, 
12/1/2061
861,331
Total
51,184,294
Technology
(1.5%)
Advanced
Micro
Devices,
Inc.
44,000
3.924%, 
6/1/2032
39,545
Akamai
Technologies,
Inc.,
Convertible
67,000
0.125%, 
5/1/2025
79,020
204,000
0.375%, 
9/1/2027
212,466
109,000
1.125%, 
2/15/2029
f
109,926
Analog
Devices,
Inc.
22,000
2.100%, 
10/1/2031
17,373
Apple,
Inc.
114,000
2.200%, 
9/11/2029
97,805
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
39
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Technology
(1.5%)
-
continued
$
83,000
1.650%, 
2/8/2031
$
65,749
AthenaHealth
Group,
Inc.
113,000
6.500%, 
2/15/2030
f
94,525
Block,
Inc.,
Convertible
43,000
0.125%, 
3/1/2025
39,904
172,000
0.250%, 
11/1/2027
129,107
Broadcom
Corporation/Broadcom
Cayman
Finance,
Ltd.
67,000
3.875%, 
1/15/2027
62,954
Broadcom,
Inc.
41,000
4.000%, 
4/15/2029
f
36,998
Cloud
Software
Group,
Inc.
65,000
6.500%, 
3/31/2029
f
57,482
24,000
9.000%, 
9/30/2029
f
20,856
CommScope
Technologies,
LLC
31,000
6.000%, 
6/15/2025
f
29,511
CommScope,
Inc.
50,000
7.125%, 
7/1/2028
f
29,915
CSG
Systems
International,
Inc.,
Convertible
58,000
3.875%, 
9/15/2028
f
56,440
Dell
International,
LLC/EMC
Corporation
58,000
5.250%, 
2/1/2028
57,114
29,000
5.300%, 
10/1/2029
28,152
Euronet
Worldwide,
Inc.,
Convertible
76,000
0.750%, 
3/15/2049
i
69,825
Fiserv,
Inc.
72,000
2.750%, 
7/1/2024
70,267
89,000
4.200%, 
10/1/2028
83,453
20,000
5.600%, 
3/2/2033
19,384
Gartner,
Inc.
45,000
3.625%, 
6/15/2029
f
38,496
110,000
3.750%, 
10/1/2030
f
92,312
Global
Payments,
Inc.
17,000
2.650%, 
2/15/2025
16,197
64,000
4.950%, 
8/15/2027
61,508
45,000
3.200%, 
8/15/2029
38,269
II-VI,
Inc.
26,000
5.000%, 
12/15/2029
f,i
22,543
Intel
Corporation
84,000
5.125%, 
2/10/2030
82,427
InterDigital,
Inc.,
Convertible
214,000
3.500%, 
6/1/2027
251,857
Iron
Mountain,
Inc.
63,000
4.875%, 
9/15/2027
f
58,108
120,000
5.000%, 
7/15/2028
f
109,146
47,000
4.875%, 
9/15/2029
f
41,193
66,000
4.500%, 
2/15/2031
f
54,283
Jabil,
Inc.
41,000
5.450%, 
2/1/2029
39,870
Lumentum
Holdings,
Inc.,
Convertible
147,000
0.250%, 
3/15/2024
145,530
278,000
0.500%, 
6/15/2028
i
201,911
Marvell
Technology,
Inc.
44,000
2.950%, 
4/15/2031
35,597
Mastercard,
Inc.
40,000
2.000%, 
11/18/2031
31,378
Microchip
Technology,
Inc.,
Convertible
259,000
0.125%, 
11/15/2024
i
271,950
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Technology
(1.5%)
-
continued
Moody's
Corporation
$
42,000
4.250%, 
8/8/2032
$
38,112
NCR
Corporation
89,000
5.125%, 
4/15/2029
f
78,414
88,000
6.125%, 
9/1/2029
f
90,246
NVIDIA
Corporation
22,000
2.850%, 
4/1/2030
19,194
NXP
BV/NXP
Funding,
LLC
48,000
4.875%, 
3/1/2024
47,760
NXP
BV/NXP
Funding,
LLC/NXP
USA,
Inc.
17,000
2.700%, 
5/1/2025
16,145
45,000
4.300%, 
6/18/2029
41,225
ON
Semiconductor
Corporation,
Convertible
237,000
Zero
Coupon, 
5/1/2027
426,600
7,000
0.500%, 
3/1/2029
f
7,686
Open
Text
Corporation
74,000
3.875%, 
12/1/2029
f
60,829
80,000
4.125%, 
2/15/2030
f
66,928
Oracle
Corporation
43,000
6.150%, 
11/9/2029
43,652
112,000
2.950%, 
4/1/2030
94,246
64,000
6.250%, 
11/9/2032
64,791
PayPal
Holdings,
Inc.
45,000
2.850%, 
10/1/2029
39,010
52,000
2.300%, 
6/1/2030
42,496
Progress
Software
Corporation,
Convertible
75,000
1.000%, 
4/15/2026
77,175
PTC,
Inc.
40,000
3.625%, 
2/15/2025
f
38,441
60,000
4.000%, 
2/15/2028
f
53,775
Rackspace
Technology
Global,
Inc.
75,000
5.375%, 
12/1/2028
f
25,151
RingCentral,
Inc.
55,000
8.500%, 
8/15/2030
f
53,130
S&P
Global,
Inc.
41,000
2.900%, 
3/1/2032
33,744
Salesforce.com,
Inc.
117,000
1.950%, 
7/15/2031
92,658
Seagate
HDD
Cayman
34,000
8.500%, 
7/15/2031
f,i
34,877
90,330
9.625%, 
12/1/2032
f
97,334
Semtech
Corporation,
Convertible
82,000
1.625%, 
11/1/2027
f
76,629
Sensata
Technologies,
Inc.
58,000
3.750%, 
2/15/2031
f
46,941
Shift4
Payments,
LLC/Shift4
Payments
Finance
Sub,
Inc.
20,000
4.625%, 
11/1/2026
f
18,857
SS&C
Technologies,
Inc.
180,000
5.500%, 
9/30/2027
f
169,855
Verint
Systems,
Inc.,
Convertible
119,000
0.250%, 
4/15/2026
101,596
Viavi
Solutions,
Inc.
55,000
3.750%, 
10/1/2029
f
44,710
Viavi
Solutions,
Inc.,
Convertible
87,000
1.625%, 
3/15/2026
f
83,042
Vishay
Intertechnology,
Inc.,
Convertible
386,000
2.250%, 
9/15/2030
f
378,087
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
40
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Technology
(1.5%)
-
continued
VMware,
Inc.
$
91,000
1.400%, 
8/15/2026
$
80,272
56,000
2.200%, 
8/15/2031
42,259
Xilinx,
Inc.
28,000
2.375%, 
6/1/2030
23,181
Ziff
Davis,
Inc.,
Convertible
202,000
1.750%, 
11/1/2026
185,739
Total
6,035,133
Transportation
(0.6%)
Air
Transport
Services
Group,
Inc.,
Convertible
137,000
3.875%, 
8/15/2029
f
134,465
Allegiant
Travel
Company
46,000
7.250%, 
8/15/2027
f
43,298
American
Airlines
Group,
Inc.
17,000
3.750%, 
3/1/2025
f
16,105
American
Airlines,
Inc.
156,000
11.750%, 
7/15/2025
f
167,699
42,000
7.250%, 
2/15/2028
f
40,156
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
147,583
5.500%, 
4/20/2026
f
144,139
Avis
Budget
Car
Rental,
LLC/Avis
Budget
Finance,
Inc.
35,000
5.375%, 
3/1/2029
f
31,107
Canadian
Pacific
Railway
Company
83,000
1.750%, 
12/2/2026
74,051
CSX
Corporation
45,000
4.250%, 
3/15/2029
42,623
Delta
Air
Lines,
Inc.
82,000
4.375%, 
4/19/2028
i
75,369
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.
71,912
4.500%, 
10/20/2025
f
69,848
ERAC
USA
Finance,
LLC
84,000
3.850%, 
11/15/2024
f
82,038
Hawaiian
Brand
Intellectual
Property,
Ltd.
80,000
5.750%, 
1/20/2026
f
71,989
Hertz
Corporation
45,000
4.625%, 
12/1/2026
f
39,881
84,000
5.000%, 
12/1/2029
f
65,765
JetBlue
Airways
Corporation,
Convertible
162,000
0.500%, 
4/1/2026
125,242
Mileage
Plus
Holdings,
LLC
88,500
6.500%, 
6/20/2027
f
87,686
Norfolk
Southern
Corporation
64,000
4.450%, 
3/1/2033
58,443
Penske
Truck
Leasing
Company,
LP/PTL
Finance
Corporation
35,000
1.200%, 
11/15/2025
f
31,484
35,000
5.750%, 
5/24/2026
f
34,485
47,000
1.700%, 
6/15/2026
f
41,667
Rand
Parent,
LLC
61,000
8.500%, 
2/15/2030
f
56,431
Ryder
System,
Inc.
37,000
2.850%, 
3/1/2027
33,667
Southwest
Airlines
Company
42,000
5.125%, 
6/15/2027
40,952
45,000
2.625%, 
2/10/2030
37,075
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Transportation
(0.6%)
-
continued
Southwest
Airlines
Company,
Convertible
$
286,000
1.250%, 
5/1/2025
i
$
283,855
Union
Pacific
Corporation
45,000
2.150%, 
2/5/2027
40,621
United
Airlines,
Inc.
55,000
4.375%, 
4/15/2026
f
50,863
46,000
4.625%, 
4/15/2029
f
39,538
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.
17,000
7.875%, 
5/1/2027
f,i
14,641
75,000
6.375%, 
2/1/2030
f
57,927
XPO
Escrow
Sub,
LLC
62,000
7.500%, 
11/15/2027
f
62,684
Total
2,195,794
U.S.
Government
&
Agencies
(4.8%)
U.S.
Treasury
Bonds
900,000
4.000%, 
11/15/2052
797,695
2,190,000
3.250%, 
5/15/2042
1,745,156
4,510,000
3.375%, 
8/15/2042
3,654,157
U.S.
Treasury
Notes
2,830,000
0.125%, 
2/15/2024
2,775,169
1,550,000
0.500%, 
3/31/2025
1,444,346
1,620,000
0.500%, 
2/28/2026
1,458,506
870,000
0.500%, 
4/30/2027
750,103
1,550,000
1.125%, 
2/29/2028
1,333,606
3,100,000
4.125%, 
7/31/2028
3,033,156
715,000
1.375%, 
11/15/2031
560,437
900,000
4.125%, 
11/15/2032
868,008
487,000
3.375%, 
5/15/2033
441,648
Total
18,861,987
Utilities
(1.3%)
AEP
Texas,
Inc.
45,000
4.700%, 
5/15/2032
41,178
AES
Corporation
72,000
3.950%, 
7/15/2030
f
62,058
Algonquin
Power
&
Utilities
Corporation
50,000
4.750%, 
1/18/2082
b
40,750
Alliant
Energy
Corporation,
Convertible
110,000
3.875%, 
3/15/2026
f
106,260
Ameren
Corporation
45,000
1.750%, 
3/15/2028
38,140
American
Electric
Power
Company,
Inc.
63,000
2.031%, 
3/15/2024
61,823
44,000
2.300%, 
3/1/2030
35,356
20,000
5.625%, 
3/1/2033
19,353
American
Water
Capital
Corporation,
Convertible
143,000
3.625%, 
6/15/2026
f
137,823
Arizona
Public
Service
Company
37,000
5.550%, 
8/1/2033
35,867
Calpine
Corporation
56,000
4.500%, 
2/15/2028
f
50,469
CenterPoint
Energy,
Inc.
34,000
2.500%, 
9/1/2024
32,918
56,000
1.450%, 
6/1/2026
50,157
67,000
2.650%, 
6/1/2031
53,513
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
41
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Utilities
(1.3%)
-
continued
CenterPoint
Energy,
Inc.,
Convertible
$
60,000
4.250%, 
8/15/2026
f
$
58,530
CMS
Energy
Corporation,
Convertible
144,000
3.375%, 
5/1/2028
f,i
135,000
Constellation
Energy
Generation,
LLC
41,000
5.800%, 
3/1/2033
39,976
Dominion
Energy,
Inc.
35,000
3.071%, 
8/15/2024
34,073
45,000
3.375%, 
4/1/2030
38,711
DTE
Energy
Company
65,000
4.220%, 
11/1/2024
63,788
42,000
4.875%, 
6/1/2028
40,590
Duke
Energy
Corporation
56,000
3.250%, 
1/15/2082
b
41,258
22,000
4.875%, 
9/16/2024
b,k
21,412
89,000
2.450%, 
6/1/2030
72,266
43,000
4.500%, 
8/15/2032
38,681
44,000
5.750%, 
9/15/2033
43,226
Duke
Energy
Corporation,
Convertible
344,000
4.125%, 
4/15/2026
f
333,852
Edison
International
54,000
4.950%, 
4/15/2025
52,921
55,000
5.000%, 
12/15/2026
b,k
47,007
Enel
Finance
International
NV
93,000
1.375%, 
7/12/2026
f
82,128
Entergy
Corporation
34,000
0.900%, 
9/15/2025
30,870
45,000
1.900%, 
6/15/2028
38,004
Evergy,
Inc.
34,000
2.450%, 
9/15/2024
32,845
Eversource
Energy
90,000
4.600%, 
7/1/2027
86,562
40,000
5.125%, 
5/15/2033
37,205
Exelon
Corporation
45,000
4.050%, 
4/15/2030
40,500
Fells
Point
Funding
Trust
100,000
3.046%, 
1/31/2027
f
90,678
FirstEnergy
Corporation,
Convertible
207,000
4.000%, 
5/1/2026
f
199,237
Florida
Power
&
Light
Company
42,000
4.400%, 
5/15/2028
40,498
Georgia
Power
Company
25,000
4.950%, 
5/17/2033
23,433
ITC
Holdings
Corporation
43,000
4.950%, 
9/22/2027
f
41,895
Jersey
Central
Power
&
Light
Company
80,000
2.750%, 
3/1/2032
f
62,651
National
Rural
Utilities
Cooperative
Finance
Corporation
75,000
3.450%, 
6/15/2025
72,164
37,000
5.050%, 
9/15/2028
36,349
NextEra
Energy
Capital
Holdings,
Inc.
31,000
3.800%, 
3/15/2082
b
26,242
40,000
6.051%, 
3/1/2025
40,061
60,000
5.749%, 
9/1/2025
59,831
45,000
2.250%, 
6/1/2030
36,026
Principal
Amount
Long-Term
Fixed
Income
(44.0%)
Value
Utilities
(1.3%)
-
continued
NextEra
Energy
Operating
Partners,
LP
$
125,000
3.875%, 
10/15/2026
f
$
113,177
NextEra
Energy
Partners,
LP,
Convertible
52,000
Zero
Coupon, 
6/15/2024
f,i
49,322
208,000
Zero
Coupon, 
11/15/2025
f
173,680
NiSource,
Inc.
45,000
2.950%, 
9/1/2029
38,785
NRG
Energy,
Inc.
34,000
2.000%, 
12/2/2025
f
30,768
46,000
10.250%, 
3/15/2028
b,f,k
45,053
24,000
3.375%, 
2/15/2029
f
19,425
35,000
5.250%, 
6/15/2029
f
30,897
NRG
Energy,
Inc.,
Convertible
254,000
2.750%, 
6/1/2048
268,732
PG&E
Corporation
65,000
5.000%, 
7/1/2028
i
58,876
PPL
Capital
Funding,
Inc.,
Convertible
176,000
2.875%, 
3/15/2028
f
160,160
Public
Service
Enterprise
Group,
Inc.
45,000
1.600%, 
8/15/2030
34,523
Sempra
84,000
4.875%, 
10/15/2025
b,k
79,589
56,000
3.400%, 
2/1/2028
50,970
Southern
California
Edison
Company
21,000
5.950%, 
11/1/2032
20,944
Southern
Company
44,000
4.475%, 
8/1/2024
43,362
53,000
5.700%, 
10/15/2032
52,058
35,000
4.000%, 
1/15/2051
b
32,374
109,000
3.750%, 
9/15/2051
b
95,069
Southern
Company,
Convertible
342,000
3.875%, 
12/15/2025
f
332,424
Talen
Energy
Supply,
LLC
55,000
8.625%, 
6/1/2030
f
56,381
TerraForm
Power
Operating,
LLC
104,000
5.000%, 
1/31/2028
f
94,380
Vistra
Operations
Company,
LLC
88,000
5.125%, 
5/13/2025
f
85,749
132,000
5.000%, 
7/31/2027
f
121,359
Xcel
Energy,
Inc.
45,000
4.000%, 
6/15/2028
42,099
64,000
4.600%, 
6/1/2032
58,077
Total
5,092,368
Total
Long-Term
Fixed
Income
(cost
$188,333,388)
174,152,261
Shares
Common
Stock
(
31.6%
)
Value
Communications
Services
(2.4%)
4,940
Alphabet,
Inc.,
Class
A
m
646,449
25,881
Alphabet,
Inc.,
Class
C
m
3,412,410
22,839
Comcast
Corporation
1,012,681
23,617
DISH
Network
Corporation
m
138,396
625
Emerald
Holding,
Inc.
m
2,825
352
Liberty
Latin
America,
Ltd.,
Class
A
m
2,872
6,777
Meta
Platforms,
Inc.
m
2,034,523
929
Netflix,
Inc.
m
350,790
19,211
QuinStreet,
Inc.
m
172,323
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
42
Shares
Common
Stock
(31.6%)
Value
Communications
Services
(2.4%)
-
continued
32,994
Verizon
Communications,
Inc.
$
1,069,336
3,687
Walt
Disney
Company
m
298,831
22,120
Warner
Brothers
Discovery,
Inc.
m
240,223
316
Windstream
Services,
LLC
m
3,002
4,051
Ziff
Davis,
Inc.
m
258,008
Total
9,642,669
Consumer
Discretionary
(3.4%)
21,638
Amazon.com,
Inc.
m
2,750,623
7,027
Aptiv
plc
m
692,792
1,480
Bloomin'
Brands,
Inc.
36,393
301
Booking
Holdings,
Inc.
m
928,269
1,349
Boot
Barn
Holdings,
Inc.
m
109,525
5,140
Cedar
Fair,
LP
190,180
220
Chipotle
Mexican
Grill,
Inc.
m
403,003
9,624
Clarus
Corporation
72,757
2,992
Columbia
Sportswear
Company
221,707
12,855
Cooper-Standard
Holdings,
Inc.
m
172,514
3,296
Crocs,
Inc.
m
290,806
3,007
D.R.
Horton,
Inc.
323,162
1,433
Domino's
Pizza,
Inc.
542,806
11,562
Everi
Holdings,
Inc.
m
152,850
499
Ford
Motor
Company
6,198
5,755
General
Motors
Company
189,742
1,143
Grand
Canyon
Education,
Inc.
m
133,594
1,566
Hilton
Worldwide
Holdings,
Inc.
235,182
3,691
Home
Depot,
Inc.
1,115,273
3,263
Lowe's
Companies,
Inc.
678,182
623
Lululemon
Athletica,
Inc.
m
240,235
172
Marriott
International,
Inc./MD
33,808
1,155
McDonald's
Corporation
304,273
741
Meritage
Homes
Corporation
90,691
94
NVR,
Inc.
m
560,550
429
O'Reilly
Automotive,
Inc.
m
389,901
2,301
Papa
John's
International,
Inc.
156,974
5,055
Skyline
Champion
Corporation
m
322,105
7,095
Sonos,
Inc.
m
91,597
4,769
Sony
Group
Corporation
ADR
393,013
10,554
Stoneridge,
Inc.
m
211,819
5,013
Tesla,
Inc.
m
1,254,353
28,626
ThredUp,
Inc.
m
114,790
Total
13,409,667
Consumer
Staples
(1.8%)
4,965
Altria
Group,
Inc.
208,778
846
Archer-Daniels-Midland
Company
63,805
6,575
BJ's
Wholesale
Club
Holdings,
Inc.
m
469,258
1,189
Casey's
General
Stores,
Inc.
322,837
10,445
Coca-Cola
Company
584,711
3,463
Colgate-Palmolive
Company
246,254
30,763
Coty,
Inc.
m
337,470
2,339
John
B.
Sanfilippo
&
Son,
Inc.
231,093
11,839
Kenvue,
Inc.
237,727
3,172
Kimberly-Clark
Corporation
383,336
4,009
Lamb
Weston
Holdings,
Inc.
370,672
3,704
Mondelez
International,
Inc.
257,058
97
PepsiCo,
Inc.
16,436
7,770
Philip
Morris
International,
Inc.
719,347
7,660
Pilgrim's
Pride
Corporation
m
174,878
16,472
Primo
Water
Corporation
227,314
1,688
Procter
&
Gamble
Company
246,212
5,943
Sysco
Corporation
392,535
6,282
Turning
Point
Brands,
Inc.
145,051
3,785
Tyson
Foods,
Inc.
191,105
Shares
Common
Stock
(31.6%)
Value
Consumer
Staples
(1.8%)
-
continued
5,491
US
Foods
Holding
Corporation
m
$
217,993
7,435
Walmart,
Inc.
1,189,079
Total
7,232,949
Energy
(1.7%)
9,396
BP
plc
ADR
363,813
567
Cheniere
Energy,
Inc.
94,099
3,731
Chesapeake
Energy
Corporation
321,724
1,974
Chevron
Corporation
332,856
6,206
ConocoPhillips
743,479
10,881
Devon
Energy
Corporation
519,024
18,499
Enterprise
Products
Partners,
LP
506,318
239
EQT
Corporation
9,698
9,024
Exxon
Mobil
Corporation
1,061,042
13,379
Halliburton
Company
541,849
4,770
Marathon
Petroleum
Corporation
721,892
23,973
NOV,
Inc.
501,036
4,045
Permian
Resources
Corporation
56,468
3,449
Pioneer
Natural
Resources
Company
791,718
6,346
TechnipFMC
plc
129,078
465
Viper
Energy
Partners,
LP
12,964
Total
6,707,058
Financials
(4.7%)
1,746
Allstate
Corporation
194,522
20,184
Ally
Financial,
Inc.
538,509
3,841
American
Express
Company
573,039
6,845
American
International
Group,
Inc.
414,807
1,670
Ameriprise
Financial,
Inc.
550,566
6,770
Arch
Capital
Group,
Ltd.
m
539,637
25,319
Bank
of
America
Corporation
693,234
107
Bank
of
Marin
Bancorp
1,956
5,380
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
145,690
10,093
Bank
of
New
York
Mellon
Corporation
430,466
1,533
Berkshire
Hathaway,
Inc.
m
537,010
300
BlackRock
TCP
Capital
Corporation
3,522
259
BlackRock,
Inc.
167,441
714
Blackstone
Mortgage
Trust,
Inc.
15,529
12,585
Bridgewater
Bancshares,
Inc.
m
119,306
3,415
Byline
Bancorp,
Inc.
67,310
2,634
Capital
One
Financial
Corporation
255,630
1,597
Central
Pacific
Financial
Corporation
26,638
6,568
Charles
Schwab
Corporation
360,583
3,381
Chubb,
Ltd.
703,857
1,198
Cincinnati
Financial
Corporation
122,543
2,156
Citigroup,
Inc.
88,676
1,306
Citizens
Financial
Group,
Inc.
35,001
6,429
Comerica,
Inc.
267,125
656
Community
Trust
Bancorp,
Inc.
22,475
451
Dime
Community
Bancshares,
Inc.
9,002
2,399
Discover
Financial
Services
207,825
296
Eagle
Bancorp,
Inc.
6,349
1,172
Ellington
Residential
Mortgage
REIT
7,278
691
Encore
Capital
Group,
Inc.
m
33,002
730
FactSet
Research
Systems,
Inc.
319,200
4,426
Federated
Hermes,
Inc.
149,909
212
Financial
Institutions,
Inc.
3,568
1,882
First
Horizon
Corporation
20,740
148
First
Mid-Illinois
Bancshares,
Inc.
3,931
1,025
Fiserv,
Inc.
m
115,784
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
43
Shares
Common
Stock
(31.6%)
Value
Financials
(4.7%)
-
continued
119
FS
KKR
Capital
Corporation
$
2,343
3,069
Glacier
Bancorp,
Inc.
87,466
262
Golub
Capital
BDC,
Inc.
3,844
516
Great
Southern
Bancorp,
Inc.
24,727
1,610
Hanmi
Financial
Corporation
26,130
7,555
Heartland
Financial
USA,
Inc.
222,344
450
Heritage
Financial
Corporation
7,339
547
Hometrust
Bancshares,
Inc.
11,853
3,349
Hope
Bancorp,
Inc.
29,639
2,859
Houlihan
Lokey,
Inc.
306,256
301
Independent
Bank
Corporation/MI
5,520
8,808
Intercontinental
Exchange,
Inc.
969,056
9,759
J.P.
Morgan
Chase
&
Company
1,415,250
684
Janus
Henderson
Group
plc
17,661
2,173
Kinsale
Capital
Group,
Inc.
899,904
449
Loews
Corporation
28,426
2,686
M&T
Bank
Corporation
339,645
252
Marsh
&
McLennan
Companies,
Inc.
47,956
3,312
Mastercard,
Inc.
1,311,254
5,703
MetLife,
Inc.
358,776
338
Metropolitan
Bank
Holding
Corporation
m
12,263
3,125
MGIC
Investment
Corporation
52,156
1,106
MidWestOne
Financial
Group,
Inc.
22,485
3,189
Morgan
Stanley
260,446
3,963
Nasdaq,
Inc.
192,562
2,310
New
York
Community
Bancorp,
Inc.
26,195
4,007
NU
Holdings,
Ltd./Cayman
Islands
m
29,051
12,664
PayPal
Holdings,
Inc.
m
740,337
78
PNC
Financial
Services
Group,
Inc.
9,576
7,398
Radian
Group,
Inc.
185,764
6,373
Raymond
James
Financial,
Inc.
640,040
2,764
RLI
Corporation
375,600
199
SEI
Investments
Company
11,986
3,888
Triumph
Financial,
Inc.
m
251,904
229
TrustCo
Bank
Corporation
NY
6,249
336
U.S.
Bancorp
11,108
193
Veritex
Holdings,
Inc.
3,464
290
Visa,
Inc.
66,703
5,184
Voya
Financial,
Inc.
344,477
22,201
Wells
Fargo
&
Company
907,133
11,434
Western
Alliance
Bancorp
525,621
7,329
Zions
Bancorp
NA
255,709
Total
18,797,878
Health
Care
(3.9%)
4,421
Abbott
Laboratories
428,174
1,568
Agilent
Technologies,
Inc.
175,334
149
Agiliti,
Inc.
m
967
1,399
Align
Technology,
Inc.
m
427,143
1,398
Amgen,
Inc.
375,726
3,125
AstraZeneca
plc
ADR
211,625
14,815
Avantor,
Inc.
m
312,300
5,884
Baxter
International,
Inc.
222,062
1,282
Biogen,
Inc.
m
329,487
2,603
Bio-Techne
Corporation
177,186
5,133
Centene
Corporation
m
353,561
1,820
Cigna
Group
520,647
4,852
CVS
Health
Corporation
338,767
2,807
Danaher
Corporation
696,417
441
Dentsply
Sirona,
Inc.
15,065
Shares
Common
Stock
(31.6%)
Value
Health
Care
(3.9%)
-
continued
3,748
Edwards
Lifesciences
Corporation
m
$
259,661
2,310
Elanco
Animal
Health,
Inc.
m
25,964
1,231
Elevance
Health,
Inc.
536,002
207
Eli
Lilly
&
Company
111,186
5,941
Enovis
Corporation
m
313,269
6,678
Gilead
Sciences,
Inc.
500,449
6,577
Halozyme
Therapeutics,
Inc.
m
251,241
1,342
HCA
Healthcare,
Inc.
330,105
1,174
Hologic,
Inc.
m
81,476
1,371
Intuitive
Surgical,
Inc.
m
400,730
3,497
Johnson
&
Johnson
544,658
3,102
Laboratory
Corporation
of
America
Holdings
623,657
1,766
Lantheus
Holdings,
Inc.
m
122,702
31,664
Maravai
LifeSciences
Holdings,
Inc.
m
316,640
9,346
Medtronic
plc
732,353
10,053
Merck
&
Company,
Inc.
1,034,956
1,057
Molina
Healthcare,
Inc.
m
346,580
3,858
Novo
Nordisk
AS
ADR
m
350,846
13,291
Pfizer,
Inc.
440,862
4,693
Progyny,
Inc.
m
159,656
1,842
QuidelOrtho
Corporation
m
134,540
5,262
R1
RCM,
Inc.
m
79,298
1,430
Sarepta
Therapeutics,
Inc.
m
173,345
840
Thermo
Fisher
Scientific,
Inc.
425,183
2,107
UnitedHealth
Group,
Inc.
1,062,328
287
Vertex
Pharmaceuticals,
Inc.
m
99,801
15,734
Viemed
Healthcare,
Inc.
m
105,890
780
Waters
Corporation
m
213,884
3,111
Zimmer
Biomet
Holdings,
Inc.
349,116
4,453
Zoetis,
Inc.
774,733
Total
15,485,572
Industrials
(4.1%)
3,684
Advanced
Drainage
Systems,
Inc.
419,350
8,814
Air
Lease
Corporation
347,360
1,744
AMETEK,
Inc.
257,693
358
Armstrong
World
Industries,
Inc.
25,776
3,886
ASGN,
Inc.
m
317,408
1,447
Automatic
Data
Processing,
Inc.
348,119
996
Axon
Enterprise,
Inc.
m
198,194
13,608
Badger
Infrastructure
Solutions,
Ltd.
347,551
6,389
Barnes
Group,
Inc.
217,034
301
Boise
Cascade
Company
31,015
904
Carlisle
Companies,
Inc.
234,371
136
Caterpillar,
Inc.
37,128
3,534
Cimpress
plc
m
247,415
204
Cintas
Corporation
98,126
24,881
CNH
Industrial
NV
301,060
19,086
CSX
Corporation
586,895
963
Cummins,
Inc.
220,007
799
Curtiss-Wright
Corporation
156,308
510
Deere
&
Company
192,464
9,892
Delta
Air
Lines,
Inc.
366,004
6,574
ExlService
Holdings,
Inc.
m
184,335
11,684
Fastenal
Company
638,414
1,609
Ferguson
plc
264,632
6,937
Flowserve
Corporation
275,885
6,495
Fluor
Corporation
m
238,367
2,161
General
Dynamics
Corporation
477,516
137
Gibraltar
Industries,
Inc.
m
9,249
87
Gorman-Rupp
Company
2,862
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
44
Shares
Common
Stock
(31.6%)
Value
Industrials
(4.1%)
-
continued
4,873
Greenbrier
Companies,
Inc.
$
194,920
5,183
Helios
Technologies,
Inc.
287,553
1,563
Honeywell
International,
Inc.
288,749
11,203
Howmet
Aerospace,
Inc.
518,139
178
Hubbell,
Inc.
55,787
18,774
Janus
International
Group,
Inc.
m
200,882
1,198
JB
Hunt
Transport
Services,
Inc.
225,847
3,857
Johnson
Controls
International
plc
205,231
2,052
L3Harris
Technologies,
Inc.
357,294
1,156
Lincoln
Electric
Holdings,
Inc.
210,149
3,744
ManpowerGroup,
Inc.
274,510
813
Masco
Corporation
43,455
15,192
Masterbrand,
Inc.
m
184,583
3,572
Maximus,
Inc.
266,757
4,974
Miller
Industries,
Inc.
195,031
1,417
Moog,
Inc.
160,064
811
Northrop
Grumman
Corporation
356,994
1,297
Old
Dominion
Freight
Line,
Inc.
530,655
1,862
Oshkosh
Corporation
177,691
1,544
Owens
Corning,
Inc.
210,617
1,573
Parker-Hannifin
Corporation
612,715
2,532
Pentair
plc
163,947
1,599
Quanta
Services,
Inc.
299,125
3,785
RB
Global,
Inc.
236,562
9,693
Schneider
National,
Inc.
268,399
595
Simpson
Manufacturing
Company,
Inc.
89,137
3,062
Tennant
Company
227,047
5,719
Timken
Company
420,289
12,395
Uber
Technologies,
Inc.
m
570,046
3,372
United
Parcel
Service,
Inc.
525,594
1,986
United
Rentals,
Inc.
882,916
Total
16,281,223
Information
Technology
(6.6%)
1,717
Adobe,
Inc.
m
875,498
5,144
Advanced
Micro
Devices,
Inc.
m
528,906
1,831
Amphenol
Corporation
153,786
834
ANSYS,
Inc.
m
248,157
17,764
Apple,
Inc.
3,041,374
3,558
Applied
Materials,
Inc.
492,605
979
Autodesk,
Inc.
m
202,565
56
Broadcom,
Inc.
46,512
1,869
Calix,
Inc.
m
85,675
8,146
Ciena
Corporation
m
384,980
37,592
Cisco
Systems,
Inc.
2,020,946
5,865
Cohu,
Inc.
m
201,991
2,137
Crane
NXT
Company
118,753
18,599
Dropbox,
Inc.
m
506,451
1,520
Enphase
Energy,
Inc.
m
182,628
1,325
FormFactor,
Inc.
m
46,295
3,648
Fortinet,
Inc.
m
214,065
12,955
Gilat
Satellite
Networks,
Ltd.
m
83,301
2,741
Guidewire
Software,
Inc.
m
246,690
691
Insight
Enterprises,
Inc.
m
100,540
386
KLA
Corporation
177,043
13,897
Knowles
Corporation
m
205,815
146
Lam
Research
Corporation
91,508
802
Littelfuse,
Inc.
198,351
1,304
Microchip
Technology,
Inc.
101,777
16,874
Microsoft
Corporation
5,327,965
526
NetApp,
Inc.
39,913
1,427
NICE,
Ltd.
ADR
i,m
242,590
5,686
NVIDIA
Corporation
2,473,353
3,583
ON
Semiconductor
Corporation
m
333,040
Shares
Common
Stock
(31.6%)
Value
Information
Technology
(6.6%)
-
continued
3,069
Plexus
Corporation
m
$
285,356
11,980
QUALCOMM,
Inc.
1,330,499
211
Roper
Industries,
Inc.
102,183
4,351
Salesforce,
Inc.
m
882,296
12,927
Samsung
Electronics
Company,
Ltd.
653,513
1,308
ServiceNow,
Inc.
m
731,120
1,270
Silicon
Laboratories,
Inc.
m
147,180
3,302
Sprout
Social,
Inc.
m
164,704
2,048
TE
Connectivity,
Ltd.
252,989
4,022
Texas
Instruments,
Inc.
639,538
4,144
Trimble,
Inc.
m
223,196
35,065
TTM
Technologies,
Inc.
m
451,637
807
Tyler
Technologies,
Inc.
m
311,615
583
Universal
Display
Corporation
91,525
4,525
Varonis
Systems,
Inc.
m
138,193
1,043
VeriSign,
Inc.
m
211,239
487
Western
Digital
Corporation
m
22,222
4,371
Wolfspeed,
Inc.
m
166,535
1,575
Workiva,
Inc.
m
159,611
Total
25,938,224
Materials
(1.2%)
4,780
Alcoa
Corporation
138,907
772
Allegheny
Technologies,
Inc.
m
31,768
12,551
Axalta
Coating
Systems,
Ltd.
m
337,622
6,929
Ball
Corporation
344,925
1,492
Berry
Plastics
Group,
Inc.
92,370
2,953
Carpenter
Technology
Corporation
198,471
5,371
CF
Industries
Holdings,
Inc.
460,509
113
Eagle
Materials,
Inc.
18,817
3,610
Eastman
Chemical
Company
276,959
4,958
Ingevity
Corporation
m
236,050
17,097
Ivanhoe
Mines,
Ltd.
m
146,519
575
Linde
plc
214,101
4,574
Nucor
Corporation
715,145
3,535
PPG
Industries,
Inc.
458,843
4,435
Steel
Dynamics,
Inc.
475,521
17,009
Tronox
Holdings
plc
228,601
1,574
United
States
Lime
&
Minerals,
Inc.
316,374
Total
4,691,502
Real
Estate
(0.9%)
4,290
Agree
Realty
Corporation
236,980
2,528
Alexandria
Real
Estate
Equities,
Inc.
253,053
1,739
AvalonBay
Communities,
Inc.
298,656
1,483
Camden
Property
Trust
140,262
2,396
CBRE
Group,
Inc.
m
176,969
29,231
Cushman
and
Wakefield
plc
m
222,740
847
Equity
Residential
49,727
19,456
Healthcare
Realty
Trust,
Inc.
297,093
20,322
Host
Hotels
&
Resorts,
Inc.
326,575
14,504
Independence
Realty
Trust,
Inc.
204,071
533
Kite
Realty
Group
Trust
11,417
873
Mid-America
Apartment
Communities,
Inc.
112,311
9,632
National
Storage
Affiliates
Trust
305,720
1,073
Public
Storage
282,757
3,208
SBA
Communications
Corporation
642,145
3,038
UDR,
Inc.
108,365
Total
3,668,841
Utilities
(0.9%)
5,872
Alliant
Energy
Corporation
284,498
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
45
Shares
Common
Stock
(31.6%)
Value
Utilities
(0.9%)
-
continued
3,437
American
Electric
Power
Company,
Inc.
$
258,531
1,382
Black
Hills
Corporation
69,915
7,562
CenterPoint
Energy,
Inc.
203,040
5,249
Constellation
Energy
Corporation
572,561
4,547
Duke
Energy
Corporation
401,318
2,795
Entergy
Corporation
258,538
2,510
Evergy,
Inc.
127,257
24,311
NiSource,
Inc.
599,996
1,623
NorthWestern
Corporation
78,001
377
OGE
Energy
Corporation
12,566
3,358
Portland
General
Electric
Company
135,932
4,932
Public
Service
Enterprise
Group,
Inc.
280,680
2,231
Spire,
Inc.
126,230
Total
3,409,063
Total
Common
Stock
(cost
$98,529,107)
125,264,646
Shares
Registered
Investment
Companies
(
12.7%
)
Value
U.S.
Affiliated  (12.2%)
2,557,513
Thrivent
Core
Emerging
Markets
Debt
Fund
18,951,169
3,099,797
Thrivent
Core
International
Equity
Fund
29,231,085
Total
48,182,254
U.S.
Unaffiliated  (0.5%)
24,445
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
59,890
8,827
AllianceBernstein
Global
High
Income
Fund,
Inc.
85,622
13,658
Allspring
Income
Opportunities
Fund
83,314
3,230
BlackRock
Core
Bond
Trust
32,106
8,516
BlackRock
Corporate
High
Yield
Fund,
Inc.
73,493
8,106
BlackRock
Credit
Allocation
Income
Trust
78,466
2,170
BlackRock
Debt
Strategies
Fund,
Inc.
22,286
8,376
BlackRock
Enhanced
Global
Dividend
Trust
78,986
2,050
BlackRock
Enhanced
International
Dividend
Trust
10,230
265
BlackRock
Floating
Rate
Income
Strategies
Fund,
Inc.
3,344
1,349
BlackRock
Income
Trust,
Inc.
15,352
4,605
BlackRock
Multi-Sector
Income
Trust
66,635
6,571
Blackstone
Strategic
Credit
2027
Term
Fund
72,215
8,342
Eaton
Vance
Limited
Duration
Income
Fund
75,412
614
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
4,525
7,249
First
Trust
High
Income
Long/Short
Fund
77,709
2,159
Invesco
Dynamic
Credit
Opportunities
Fund
c,m
22,727
1,431
iShares
Biotechnology
ETF
i
174,997
Shares
Registered
Investment
Companies
(12.7%)
Value
U.S.
Unaffiliated  (0.5%)-
continued
18,550
Nuveen
Credit
Strategies
Income
Fund
$
93,863
2,750
Nuveen
Preferred
Income
Opportunities
Fund
17,408
2,325
Nuveen
Quality
Preferred
Income
Fund
II
14,345
7,599
PGIM
Global
High
Yield
Fund,
Inc.
81,917
7,795
PGIM
High
Yield
Bond
Fund,
Inc.
91,825
2,015
Pimco
Dynamic
Income
Fund
34,819
3,136
SPDR
Bloomberg
High
Yield
Bond
ETF
i
283,495
2,264
SPDR
S&P
Biotech
ETF
i
165,317
824
Tri-Continental
Corporation
21,910
3,800
Vanguard
Short-Term
Corporate
Bond
ETF
285,570
2,400
Virtus
Convertible
&
Income
Fund
7,464
4,590
Virtus
Dividend,
Interest
&
Premium
Strategy
Fund
i
52,005
725
Virtus
Equity
&
Convertible
Income
Fund
i
14,420
11,519
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
56,443
18,141
Western
Asset
High
Income
Opportunity
Fund,
Inc.
66,033
Total
2,324,143
Total
Registered
Investment
Companies
(cost
$56,018,158)
50,506,397
Shares
Collateral
Held
for
Securities
Loaned
(
1.0%
)
Value
3,786,834
Thrivent
Cash
Management
Trust
3,786,834
Total
Collateral
Held
for
Securities
Loaned
(cost
$3,786,834)
3,786,834
Shares
Preferred
Stock
(
0.8%
)
Value
Communications
Services
(0.1%)
7,800
AT&T,
Inc.,
4.750%
k
149,604
1,219
Paramount
Global,
Convertible,
5.750%
21,637
3,500
Telephone
and
Data
Systems,
Inc.,
6.000%
k
47,775
Total
219,016
Energy
(<0.1%)
3,364
Crestwood
Equity
Partners,
LP,
9.250%
k
32,664
1,600
Energy
Transfer,
LP,
7.600%
b,k
39,088
1,536
Nustar
Logistics,
LP,
12.304%
b
39,491
351
UGI
Corporation,
Convertible,
7.250%
20,056
Total
131,299
Financials
(0.5%)
2,750
Aegon
Funding
Corporation
II,
5.100%
54,615
2,700
Allstate
Corporation,
5.100%
k
52,758
5,215
Apollo
Global
Management,
Inc.,
Convertible,
6.750%
m
287,346
6,175
Bank
of
America
Corporation,
4.250%
k
105,284
274
Bank
of
America
Corporation,
Convertible,
7.250%
k
304,746
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
46
Shares
Preferred
Stock
(0.8%)
Value
Financials
(0.5%)
-
continued
5,525
Capital
One
Financial
Corporation,
5.000%
k
$
103,428
2,875
Equitable
Holdings,
Inc.,
5.250%
k
56,637
140
First
Horizon
Bank,
6.393%
*,b,k
92,913
4,400
J.P.
Morgan
Chase
&
Company,
4.200%
k
79,640
3,350
J.P.
Morgan
Chase
&
Company,
4.750%
k
68,641
3,500
KeyCorp,
6.200%
b,k
69,090
2,850
Morgan
Stanley,
4.250%
k
48,592
2,630
Morgan
Stanley,
5.850%
b,k
61,095
3,100
Morgan
Stanley,
7.125%
b,k
79,546
2,850
Public
Storage
Operating
Company,
4.125%
k
51,215
1,300
Public
Storage
Operating
Company,
4.625%
k
25,610
325
Public
Storage
Operating
Company,
4.700%
k
6,360
825
Regions
Financial
Corporation,
5.700%
b,k
16,170
775
Synovus
Financial
Corporation,
5.875%
b,k
16,686
2,850
U.S.
Bancorp,
4.000%
k
45,629
5,000
Wells
Fargo
&
Company,
4.250%
k
83,450
322
Wells
Fargo
&
Company,
Convertible,
7.500%
k
359,030
Total
2,068,481
Utilities
(0.2%)
3,398
AES
Corporation,
Convertible,
6.875%
207,278
3,900
CMS
Energy
Corporation,
4.200%
k
77,298
5,533
NextEra
Energy,
Inc.,
Convertible,
6.926%
i
209,314
920
NiSource,
Inc.,
Convertible,
7.750%
89,654
3,425
Southern
Company,
4.950%
72,096
Total
655,640
Total
Preferred
Stock
(cost
$3,780,836)
3,074,436
Shares
or
Principal
Amount
Short-Term
Investments
(
6.2%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
400,000
5.285%,
11/15/2023
n,o
397,499
1,100,000
5.300%,
12/6/2023
n,o
1,089,828
300,000
5.315%,
12/13/2023
n,o
296,929
800,000
5.315%,
12/15/2023
n,o
791,583
Thrivent
Core
Short-Term
Reserve
Fund
2,167,342
5.650%
21,673,423
U.S.
Treasury
Bills
100,000
5.267%,
11/21/2023
n,p
99,262
Total
Short-Term
Investments
(cost
$24,338,674)
24,348,524
Total
Investments
(cost
$398,350,744)
102.3%
$404,733,925
Other
Assets
and
Liabilities,
Net
(2.3%)
(8,979,958)
Total
Net
Assets
100.0%
$395,753,967
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
f
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$55,581,926
or
14.0%
of
total
net
assets.
g
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
29,
2023.
h
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
i
All
or
a
portion
of
the
security
is
on
loan.
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
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
Defaulted
security.  Interest
is
not
being
accrued.
m
Non-income
producing
security.
n
The
interest
rate
shown
reflects
the
yield.
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
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.
*
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
Balanced
Income
Plus
Portfolio
as
of
September
29,
2023
was
$95,003
or
0.02%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
29,
2023.
Security
Acquisition
Date
Cost
Credit
Suisse
Group
AG,
12/29/2049
1/31/2014
$
23,139
First
Horizon
Bank,
6.393%,
3/5/2019
6/21/2017
107,380
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
47
x
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Balanced
Income
Plus
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
2,814,998
Common
Stock
861,695
Total
lending
$3,676,693
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$3,786,834
Net
amounts
due
to
counterparty
$110,141
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
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
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
PRIME
-
Federal
Reserve
Prime
Loan
Rate
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
SOFRRATE
-
Secured
Overnight
Financing
Rate
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
TSFR6M
-
CME
Term
SOFR
6
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
48
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
736,617
652,500
84,117
Capital
Goods
2,461,937
2,224,182
237,755
Communications
Services
3,431,325
3,431,325
Consumer
Cyclical
4,127,778
4,127,778
Consumer
Non-Cyclical
3,858,604
3,700,711
157,893
Energy
544,899
544,899
Financials
1,911,221
1,911,221
Technology
4,906,045
4,906,045
Transportation
1,355,445
1,355,445
Utilities
266,956
266,956
Long-Term
Fixed
Income
Asset-Backed
Securities
17,185,103
17,185,103
Basic
Materials
2,716,620
2,716,620
Capital
Goods
5,326,531
5,326,531
Collateralized
Mortgage
Obligations
14,236,875
14,236,875
Commercial
Mortgage-Backed
Securities
1,743,554
1,743,554
Communications
Services
5,788,302
5,788,302
Consumer
Cyclical
8,729,303
8,729,303
Consumer
Non-Cyclical
7,755,056
7,755,056
Energy
6,453,628
6,453,628
Financials
20,781,625
20,781,625
Foreign
Government
66,088
66,088
Mortgage-Backed
Securities
51,184,294
51,184,294
Technology
6,035,133
6,035,133
Transportation
2,195,794
2,195,794
U.S.
Government
&
Agencies
18,861,987
18,861,987
Utilities
5,092,368
5,092,368
Common
Stock
Communications
Services
9,642,669
9,639,667
3,002
Consumer
Discretionary
13,409,667
13,409,667
Consumer
Staples
7,232,949
7,232,949
Energy
6,707,058
6,707,058
Financials
18,797,878
18,797,878
Health
Care
15,485,572
15,485,572
Industrials
16,281,223
15,933,672
347,551
Information
Technology
25,938,224
25,284,711
653,513
Materials
4,691,502
4,544,983
146,519
Real
Estate
3,668,841
3,668,841
Utilities
3,409,063
3,409,063
Preferred
Stock
Communications
Services
219,016
219,016
Energy
131,299
131,299
Financials
2,068,481
1,975,568
92,913
Utilities
655,640
655,640
Registered
Investment
Companies
U.S.
Unaffiliated
2,324,143
2,301,416
22,727
Short-Term
Investments
2,675,101
2,675,101
Subtotal
Investments
in
Securities
$331,091,414
$129,397,000
$201,191,922
$502,492
Other
Investments  *
Total
U.S.
Affiliated
Registered
Investment
Cos.
48,182,254
Affiliated
Short-Term
Investments
21,673,423
Collateral
Held
for
Securities
Loaned
3,786,834
Subtotal
Other
Investments
$73,642,511
Total
Investments
at
Value
$404,733,925
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
49
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Balanced
Income
Plus
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
681,151
681,151
Credit
Default
Swaps
616
616
Total
Asset
Derivatives
$681,767
$681,151
$616
$–
Liability
Derivatives
Futures
Contracts
1,761,282
1,761,282
Total
Liability
Derivatives
$1,761,282
$1,761,282
$–
$–
The
following
table
presents
Balanced
Income
Plus
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$2,575,839
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
27
December
2023
$
2,979,778
(
$
62,090)
CBOT
2-Yr.
U.S.
Treasury
Note
14
December
2023
2,850,568
(
12,615)
CBOT
5-Yr.
U.S.
Treasury
Note
38
December
2023
4,047,331
(
43,675)
CBOT
U.S.
Long
Bond
51
December
2023
6,139,809
(
336,964)
CME
E-mini
S&P
500
Index
27
December
2023
6,082,491
(
243,066)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
100
December
2023
12,785,448
(
916,698)
ICE
mini
MSCI
EAFE
Index
6
December
2023
629,982
(
17,532)
ICE
US
mini
MSCI
Emerging
Markets
Index
80
December
2023
3,918,695
(
96,695)
Ultra
10-Yr.
U.S.
Treasury
Note
9
December
2023
1,036,009
(
31,947)
Total
Futures
Long
Contracts
$
40,470,111
(
$
1,761,282)
CME
E-mini
Russell
2000
Index
(95)
December
2023
(
$
8,914,604)
$
371,254
CME
E-mini
S&P
Mid-Cap
400
Index
(23)
December
2023
(
5,992,190)
195,270
CME
Euro
Foreign
Exchange
Currency
(29)
December
2023
(
3,899,690)
52,659
Eurex
Euro
STOXX
50
Index
(86)
December
2023
(
3,869,845)
61,968
Total
Futures
Short
Contracts
(
$
22,676,329)
$681,151
Total
Futures
Contracts
$
17,793,782
($1,080,131)
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
50
The
following
table
presents
Balanced
Income
Plus
Portfolio's
swaps
contracts
held
as
of
September
29,
2023.
Investments
totaling
$99,262
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
41,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2028
$
950,000
$
$
616
$
616
Total
Credit
Default
Swaps
$–
$616
$616
1
As
the
buyer
of
protection,
Balanced
Income
Plus
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,
Balanced
Income
Plus
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
Balanced
Income
Plus
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.
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
51
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$24,931
$1,018
$6,650
$18,951
2,558
4.8%
Core
International
Equity
28,893
2,000
29,231
3,100
7.4
Total
U.S.
Affiliated
Registered
Investment
Companies
53,824
48,182
12.2
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
47,806
85,851
111,984
21,673
2,167
5.5
Total
Affiliated
Short-Term
Investments
47,806
21,673
5.5
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
2,819
61,209
60,241
3,787
3,787
1.0
Total
Collateral
Held
for
Securities
Loaned
2,819
3,787
1.0
Total
Value
$104,449
$73,642
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
($1,903)
$1,555
$
$1,018
Core
International
Equity
2
2,336
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
0
(0)
1,145
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$2,163
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
34
Total
Affiliated
Income
from
Securities
Loaned,
Net
$34
Total
Value
($1,901)
$3,891
$
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
52
Principal
Amount
Bank
Loans
(
7.3%
)
a
Value
Basic
Materials
(0.2%)
Arsenal
AIC
Parent,
LLC,
Term
Loan
$
153,374
9.883%, 
(TSFR1M
+
4.500%),
8/18/2030
b
$
152,926
Grinding
Media,
Inc.,
Term
Loan
169,733
9.530%, 
(TSFR1M
+
4.000%),
10/12/2028
b,c
168,036
INEOS
US
Petrochem,
LLC,
Term
Loan
450,993
8.181%, 
(TSFR1M
+
2.750%),
1/29/2026
b
448,513
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
155,095
8.931%, 
(TSFR1M
+
3.500%),
6/30/2027
b
154,565
Nouryon
USA,
LLC,
Term
Loan
401,453
8.427%, 
(TSFR3M
+
3.000%),
10/1/2025
b
400,782
Spectrum
Group
Buyer,
Inc.,
Term
Loan
152,849
11.953%, 
(TSFR1M
+
6.500%),
5/19/2028
b
146,849
Total
1,471,671
Capital
Goods
(0.8%)
Ali
Group
North
America
Corporation,
Term
Loan
224,816
7.431%, 
(TSFR1M
+
2.000%),
7/22/2029
b
224,503
Brookfield
WEC
Holdings,
Inc.,
Term
Loan
368,214
8.181%, 
(TSFR1M
+
2.750%),
8/1/2025
b
367,787
BW
Holding,
Inc.,
Term
Loan
160,040
9.573%, 
(TSFR1M
+
4.000%),
12/14/2028
b
143,293
Chart
Industries,
Inc.,
Term
Loan
151,519
9.174%, 
(TSFR1M
+
3.750%),
3/17/2030
b,c
151,519
Charter
Next
Generation,
Inc.,
Term
Loan
444,307
9.181%, 
(TSFR1M
+
3.750%),
12/1/2027
b
439,864
Clydesdale
Acquisition
Holdings,
Inc.,
Term
Loan
426,679
9.591%, 
(TSFR1M
+
4.175%),
4/13/2029
b
420,403
Cornerstone
Building
Brands,
Inc.,
Term
Loan
426,717
8.682%, 
(TSFR1M
+
3.250%),
4/12/2028
b
415,251
Emerald
Debt
Merger
Sub,
LLC,
Term
Loan
330,439
8.316%, 
(TSFR1M
+
3.000%),
5/31/2030
b
329,821
Foley
Products
Company,
LLC,
Term
Loan
137,319
10.290%, 
(SOFRRATE
+
4.750%),
2/16/2029
b
136,604
Proampac
PG
Borrower,
LLC,
Term
Loan
238,411
0.000%, 
(TSFR1M
+
4.500%),
9/26/2028
b,d,e
236,861
Principal
Amount
Bank
Loans
(7.3%)
a
Value
Capital
Goods
(0.8%)
-
continued
Quikrete
Holdings,
Inc.,
Term
Loan
$
150,437
8.056%, 
(TSFR1M
+
2.625%),
1/31/2027
b
$
150,061
339,483
8.181%, 
(TSFR1M
+
2.750%),
3/18/2029
b
339,290
Smyrna
Ready
Mix
Concrete,
LLC,
Term
Loan
314,087
9.666%, 
(TSFR1M
+
4.250%),
4/1/2029
b,c
314,480
TK
Elevator
U.S.
Newco,
Inc.,
Term
Loan
252,460
9.381%, 
(TSFR6M
+
3.500%),
7/31/2027
b
251,702
TransDigm,
Inc.,
Term
Loan
706,450
8.640%, 
(TSFR1M
+
3.250%),
8/24/2028
b
706,337
Vertiv
Group
Corporation,
Term
Loan
247,456
8.192%, 
(TSFR1M
+
2.750%),
3/2/2027
b
246,926
Total
4,874,702
Communications
Services
(1.0%)
Altice
France
SA/France,
Term
Loan
516,354
10.808%, 
(TSFR1M
+
5.500%),
8/31/2028
b
466,139
CCI
Buyer,
Inc.,
Term
Loan
198,960
9.390%, 
(TSFR3M
+
4.000%),
12/17/2027
b
196,100
Cengage
Learning,
Inc.,
Term
Loan
164,884
10.323%, 
(TSFR3M
+
4.750%),
7/14/2026
b
163,894
Charter
Communications
Operating,
LLC,
Term
Loan
620,536
7.116%, 
(TSFR3M
+
1.750%),
2/1/2027
b
619,531
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
461,807
9.130%, 
(TSFR3M
+
3.500%),
8/23/2026
b
447,759
CMG
Media
Corporation,
Term
Loan
312,000
0.000%, 
(LIBOR
3M
+
3.500%),
12/17/2026
b,d,e
284,700
Crown
Subsea
Communications
Holding,
Inc.,
Term
Loan
151,870
10.444%, 
(TSFR1M
+
5.000%),
4/27/2027
b
152,123
222,914
10.694%, 
(TSFR1M
+
5.250%),
4/27/2027
b
223,472
CSC
Holdings,
LLC,
Term
Loan
239,480
7.947%, 
(LIBOR
1M
+
2.500%),
4/15/2027
b
216,329
DIRECTV
Financing,
LLC,
Term
Loan
560,639
10.431%, 
(TSFR1M
+
5.000%),
8/2/2027
b
547,246
Intelsat
Jackson
Holdings
SA,
Term
Loan
297,755
9.772%, 
(TSFR6M
+
4.250%),
2/1/2029
b
296,808
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
53
Principal
Amount
Bank
Loans
(7.3%)
a
Value
Communications
Services
(1.0%)
-
continued
Level
3
Financing,
Inc.,
Term
Loan
$
260,000
7.181%, 
(TSFR1M
+
1.750%),
3/1/2027
b
$
245,115
Lumen
Technologies,
Inc.,
Term
Loan
318,301
7.681%, 
(TSFR1M
+
2.250%),
3/15/2027
b
226,086
McGraw-Hill
Education,
Inc.,
Term
Loan
313,600
10.181%, 
(LIBOR
1M
+
4.750%),
7/30/2028
b,d,e
306,870
MH
Sub
I,
LLC,
Term
Loan
393,539
9.566%, 
(TSFR1M
+
4.250%),
5/3/2028
b
380,194
NEP
Group,
Inc.,
Term
Loan
164,836
8.681%, 
(TSFR1M
+
3.250%),
10/20/2025
b
158,964
Playtika
Holding
Corporation,
Term
Loan
198,959
8.181%, 
(TSFR1M
+
2.750%),
3/11/2028
b
198,587
Radiate
Holdco,
LLC,
Term
Loan
330,258
8.681%, 
(TSFR1M
+
3.250%),
9/25/2026
b
269,352
RLG
Holdings,
LLC,
Term
Loan
160,038
9.681%, 
(TSFR1M
+
4.250%),
7/8/2028
b
150,036
SBA
Senior
Finance
II,
LLC,
Term
Loan
228,321
7.170%, 
(TSFR1M
+
1.750%),
4/11/2025
b,d,e
228,086
UPC
Financing
Partnership,
Term
Loan
152,000
8.372%, 
(TSFR1M
+
2.925%),
1/31/2029
b
149,530
Virgin
Media
Bristol,
LLC,
Term
Loan
377,000
7.947%, 
(TSFR1M
+
2.500%),
1/31/2028
b
365,739
Zayo
Group
Holdings,
Inc.,
Term
Loan
318,900
8.431%, 
(TSFR1M
+
3.000%),
3/9/2027
b
259,684
Ziggo
Financing
Partnership,
Term
Loan
255,000
7.947%, 
(TSFR1M
+
2.500%),
4/30/2028
b
248,837
Total
6,801,181
Consumer
Cyclical
(1.3%)
1011778
B.C.,
ULC,
Term
Loan
617,203
7.566%, 
(TSFR1M
+
2.250%),
9/21/2030
b
614,506
AlixPartners,
LLP,
Term
Loan
281,695
8.181%, 
(TSFR1M
+
2.750%),
2/4/2028
b
281,273
Allied
Universal
Holdco,
LLC,
Term
Loan
615,717
9.166%, 
(TSFR1M
+
3.750%),
5/14/2028
b
593,816
Alterra
Mountain
Company,
Term
Loan
194,020
8.931%, 
(TSFR1M
+
3.500%),
8/17/2028
b
193,374
Principal
Amount
Bank
Loans
(7.3%)
a
Value
Consumer
Cyclical
(1.3%)
-
continued
Arches
Buyer,
Inc.,
Term
Loan
$
106,898
8.666%, 
(TSFR1M
+
3.250%),
12/6/2027
b
$
104,493
Caesars
Entertainment,
Inc.,
Term
Loan
388,050
8.666%, 
(TSFR1M
+
3.250%),
2/6/2030
b
387,809
Carnival
Corporation,
Term
Loan
395,815
8.327%, 
(TSFR1M
+
3.000%),
8/8/2027
b
394,331
31,678
8.681%, 
(TSFR1M
+
3.250%),
10/18/2028
b
31,480
Cinemark
USA,
Inc.,
Term
Loan
176,732
9.089%, 
(TSFR1M
+
3.750%),
5/24/2030
b
176,327
Clarios
Global,
LP,
Term
Loan
355,072
9.066%, 
(TSFR1M
+
3.750%),
5/4/2030
b
353,964
Delta
2
Lux
SARL,
Term
Loan
367,000
8.316%, 
(TSFR1M
+
3.000%),
1/15/2030
b
366,633
Ensemble
RCM,
LLC,
Term
Loan
149,223
9.219%, 
(TSFR1M
+
3.750%),
8/1/2026
b
149,276
Fertitta
Entertainment,
LLC/NV,
Term
Loan
150,472
9.316%, 
(TSFR1M
+
4.000%),
1/27/2029
b
148,780
First
Brands
Group,
LLC,
Term
Loan
200,458
10.881%, 
(TSFR6M
+
5.000%),
3/30/2027
b
197,451
GoDaddy
Operating
Company,
LLC,
Term
Loan
243,166
7.816%, 
(TSFR1M
+
2.500%),
11/10/2029
b
243,241
Great
Outdoors
Group,
LLC,
Term
Loan
344,485
9.181%, 
(TSFR1M
+
3.750%),
3/5/2028
b
343,317
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
306,635
8.181%, 
(TSFR1M
+
2.750%),
10/19/2027
b
303,986
IRB
Holding
Corporation,
Term
Loan
355,294
8.416%, 
(TSFR1M
+
3.000%),
12/15/2027
b
353,653
Light
&
Wonder
International,
Inc.,
Term
Loan
373,221
8.434%, 
(TSFR1M
+
3.000%),
4/14/2029
b
372,754
Petco
Health
&
Wellness
Company,
Inc.,
Term
Loan
157,591
8.902%, 
(TSFR3M
+
3.250%),
3/4/2028
b
155,621
PetSmart,
LLC,
Term
Loan
486,179
9.166%, 
(TSFR1M
+
3.750%),
2/12/2028
b
484,181
Pilot
Travel
Centers,
LLC,
Term
Loan
415,684
7.416%, 
(TSFR1M
+
2.000%),
8/6/2028
b
414,940
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
54
Principal
Amount
Bank
Loans
(7.3%)
a
Value
Consumer
Cyclical
(1.3%)
-
continued
Prime
Security
Services
Borrower,
LLC,
Term
Loan
$
494,825
8.192%, 
(TSFR1M
+
2.750%),
9/23/2026
b
$
493,929
Scientific
Games
Holdings,
LP,
Term
Loan
252,450
8.768%, 
(TSFR1M
+
3.500%),
4/4/2029
b
250,766
Staples,
Inc.,
Term
Loan
243,047
10.634%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
208,029
Stars
Group
Holdings
BV,
Term
Loan
145,515
7.902%, 
(TSFR3M
+
2.250%),
7/21/2026
b
145,319
Uber
Technologies,
Inc.,
Term
Loan
184,563
8.159%, 
(TSFR1M
+
2.750%),
3/3/2030
b
184,395
UFC
Holdings,
LLC,
Term
Loan
242,813
8.369%, 
(TSFR3M
+
2.750%),
4/29/2026
b
242,427
Total
8,190,071
Consumer
Non-Cyclical
(1.2%)
AI
Aqua
Merger
Sub,
Inc.,
Term
Loan
484,988
9.084%, 
(TSFR1M
+
3.750%),
7/30/2028
b
479,610
Alltech,
Inc.,
Term
Loan
150,338
9.431%, 
(TSFR1M
+
4.000%),
10/15/2028
b
144,889
Amneal
Pharmaceuticals,
LLC,
Term
Loan
366,527
8.931%, 
(TSFR1M
+
3.500%),
5/4/2025
b
359,197
Bausch
+
Lomb
Corporation,
Term
Loan
388,070
8.755%, 
(TSFR1M
+
3.250%),
5/10/2027
b
376,645
176,012
0.000%, 
(TSFR1M
+
4.000%),
9/14/2028
b,c,d,e
173,592
Chobani,
LLC,
Term
Loan
155,168
8.931%, 
(TSFR1M
+
3.500%),
10/23/2027
b
155,022
DaVita,
Inc.,
Term
Loan
124,148
7.181%, 
(TSFR1M
+
1.750%),
8/12/2026
b
122,519
Elanco
Animal
Health,
Inc.,
Term
Loan
196,270
7.180%, 
(TSFR1M
+
1.750%),
8/1/2027
b
192,317
Froneri
U.S.,
Inc.,
Term
Loan
378,092
7.666%, 
(TSFR3M
+
2.250%),
1/31/2027
b
374,954
Gainwell
Acquisition
Corporation,
Term
Loan
554,325
9.490%, 
(TSFR3M
+
4.000%),
10/1/2027
b
539,946
ICON
Luxembourg
SARL,
Term
Loan
393,175
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
392,861
Principal
Amount
Bank
Loans
(7.3%)
a
Value
Consumer
Non-Cyclical
(1.2%)
-
continued
Jazz
Financing
Lux
SARL,
Term
Loan
$
489,443
8.931%, 
(TSFR1M
+
3.500%),
5/5/2028
b
$
488,968
LifePoint
Health,
Inc.,
Term
Loan
155,963
0.000%, 
(TSFR1M
+
5.500%),
11/16/2028
b,c,d,e
151,284
537,630
9.377%, 
(TSFR3M
+
3.750%),
11/16/2025
b,d,e
535,840
Medline
Borrower,
LP,
Term
Loan
896,895
8.681%, 
(TSFR1M
+
3.250%),
10/21/2028
b
893,935
Organon
&
Company,
Term
Loan
450,685
8.442%, 
(TSFR1M
+
3.000%),
6/2/2028
b
449,333
Packaging
Coordinators
Midco,
Inc.,
Term
Loan
150,840
9.152%, 
(TSFR3M
+
3.500%),
11/30/2027
b
150,039
Phoenix
Newco,
Inc.,
Term
Loan
368,131
8.681%, 
(TSFR1M
+
3.250%),
11/15/2028
b
365,204
PRA
Health
Sciences,
Inc.,
Term
Loan
97,960
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
97,881
Reynolds
Consumer
Products,
LLC,
Term
Loan
282,224
7.166%, 
(TSFR1M
+
1.750%),
2/4/2027
b
281,744
Select
Medical
Corporation,
Term
Loan
249,375
8.316%, 
(TSFR1M
+
3.000%),
3/6/2027
b
248,440
Sotera
Health
Holdings,
LLC,
Term
Loan
335,000
8.181%, 
(TSFR1M
+
2.750%),
12/11/2026
b
331,566
Star
Parent,
Inc.,
Term
Loan
364,800
0.000%, 
(TSFR1M
+
4.000%),
9/28/2030
b,d,e
356,238
Total
7,662,024
Energy
(0.2%)
Buckeye
Partners,
LP,
Term
Loan
247,455
7.666%, 
(TSFR1M
+
2.250%),
11/1/2026
b
247,084
CQP
Holdco,
LP,
Term
Loan
494,738
8.990%, 
(TSFR1M
+
3.500%),
6/4/2028
b
494,624
GIP
II
Blue
Holding,
LP,
Term
Loan
85,756
9.931%, 
(TSFR3M
+
4.500%),
9/29/2028
b
85,864
GIP
III
Stetson
I,
LP,
Term
Loan
135,097
9.666%, 
(TSFR1M
+
4.250%),
7/18/2025
b
134,956
Oryx
Midstream
Services
Permian
Basin,
LLC,
Term
Loan
116,098
8.692%, 
(TSFR3M
+
3.250%),
10/5/2028
b
115,917
Total
1,078,445
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
55
Principal
Amount
Bank
Loans
(7.3%)
a
Value
Financials
(0.6%)
Acrisure,
LLC,
Term
Loan
$
232,590
8.931%, 
(LIBOR
1M
+
3.500%),
2/15/2027
b
$
229,017
Alliant
Holdings
Intermediate,
LLC,
Term
Loan
97,011
8.831%, 
(TSFR1M
+
3.500%),
11/6/2027
b
96,799
AmWINS
Group,
Inc.,
Term
Loan
373,165
7.681%, 
(TSFR1M
+
2.250%),
2/19/2028
b
370,579
Asurion,
LLC,
Term
Loan
301,475
8.681%, 
(LIBOR
3M
+
3.250%),
12/23/2026
b
294,692
168,896
8.681%, 
(TSFR3M
+
3.250%),
7/31/2027
b
162,984
110,871
9.666%, 
(TSFR1M
+
4.250%),
8/19/2028
b
107,545
Edelman
Financial
Engines
Center,
LLC,
Term
Loan
101,957
8.931%, 
(TSFR1M
+
3.500%),
4/7/2028
b
100,759
First
Eagle
Holdings,
Inc.,
Term
Loan
101,912
7.990%, 
(TSFR3M
+
2.500%),
2/2/2027
b
100,930
FleetCor
Technologies
Operating
Company,
LLC,
Term  Loan
198,967
7.166%, 
(TSFR1M
+
1.750%),
4/30/2028
b
198,107
Focus
Financial
Partners,
LLC,
Term
Loan
167,729
8.566%, 
(TSFR1M
+
3.250%),
6/30/2028
b
167,147
Howden
Group
Holdings,
Ltd.,
Term
Loan
101,952
8.688%, 
(LIBOR
1M
+
3.250%),
11/12/2027
b
101,518
HUB
International,
Ltd.,
Term
Loan
475,000
9.584%, 
(TSFR1M
+
4.250%),
6/20/2030
b
475,793
Hudson
River
Trading,
LLC,
Term
Loan
106,903
8.631%, 
(TSFR1M
+
3.000%),
3/18/2028
b
106,121
Jane
Street
Group,
LLC,
Term
Loan
198,954
8.181%, 
(TSFR1M
+
2.750%),
1/26/2028
b
198,208
Osaic
Holdings,
Inc.,
Term
Loan
91,078
9.816%, 
(TSFR1M
+
4.500%),
8/16/2028
b
90,936
Sedgwick
Claims
Management
Services,
Inc.,
Term
Loan
170,642
9.066%, 
(TSFR1M
+
3.750%),
2/24/2028
b
170,195
Trans
Union,
LLC,
Term
Loan
308,628
7.681%, 
(TSFR1M
+
2.250%),
12/1/2028
b
308,205
USI,
Inc./NY,
Term
Loan
368,280
9.140%, 
(TSFR1M
+
3.750%),
11/22/2029
b
367,717
Principal
Amount
Bank
Loans
(7.3%)
a
Value
Financials
(0.6%)
-
continued
VFH
Parent,
LLC,
Term
Loan
$
150,480
8.418%, 
(TSFR1M
+
3.000%),
1/13/2029
b
$
149,132
Total
3,796,384
Technology
(1.5%)
Amentum
Government
Services
Holdings,
LLC,
Term  Loan
247,494
9.331%, 
(TSFR1M
+
4.000%),
2/15/2029
b
243,628
AthenaHealth
Group,
Inc.,
Term
Loan
683,042
8.568%, 
(PRIME
+
3.250%),
2/15/2029
b,d,e
669,169
Boxer
Parent
Company,
Inc.,
Term
Loan
377,540
9.181%, 
(TSFR1M
+
3.750%),
10/2/2025
b
376,966
Central
Parent,
Inc.,
Term
Loan
442,655
9.640%, 
(TSFR3M
+
4.250%),
7/6/2029
b
442,416
Cloud
Software
Group,
Inc.,
Term
Loan
403,985
9.990%, 
(TSFR3M
+
4.500%),
3/30/2029
b
387,911
Coherent
Corporation,
Term
Loan
228,538
8.181%, 
(TSFR3M
+
2.750%),
7/1/2029
b
227,539
CommScope,
Inc.,
Term
Loan
155,987
8.681%, 
(TSFR1M
+
3.250%),
4/4/2026
b
142,026
CoreLogic,
Inc.,
Term
Loan
199,473
8.931%, 
(TSFR1M
+
3.500%),
6/2/2028
b
183,930
Cornerstone
OnDemand,
Inc.,
Term
Loan
271,246
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
257,345
Dcert
Buyer,
Inc.,
Term
Loan
300,882
9.316%, 
(TSFR6M
+
4.000%),
10/16/2026
b
298,592
Dun
&
Bradstreet
Corporation,
Term
Loan
295,872
8.167%, 
(TSFR1M
+
2.750%),
2/8/2026
b
295,224
Entegris,
Inc.,
Term
Loan
210,609
7.871%, 
(TSFR3M
+
2.500%),
7/6/2029
b
210,543
Gen
Digital,
Inc.,
Term
Loan
285,564
7.416%, 
(TSFR1M
+
2.000%),
9/12/2029
b
284,422
Genesys
Cloud
Services
Holdings
II,
LLC,
Term
Loan
248,092
9.431%, 
(TSFR1M
+
4.000%),
12/1/2027
b
248,092
GTCR
W
Merger
Sub,
LLC,
Term
Loan
499,200
0.000%, 
(TSFR1M
+
3.000%),
9/20/2030
b,d,e
498,836
Informatica,
LLC,
Term
Loan
247,487
8.181%, 
(TSFR1M
+
2.750%),
10/29/2028
b
246,406
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
56
Principal
Amount
Bank
Loans
(7.3%)
a
Value
Technology
(1.5%)
-
continued
Magenta
Buyer,
LLC,
Term
Loan
$
266,962
10.631%, 
(TSFR3M
+
5.000%),
7/27/2028
b
$
197,848
McAfee
Corporation,
Term
Loan
508,847
9.180%, 
(TSFR1M
+
3.750%),
3/1/2029
b
496,284
Mitchell
International,
Inc.,
Term
Loan
310,844
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
305,314
MKS
Instruments,
Inc.,
Term
Loan
446,490
8.166%, 
(TSFR1M
+
2.750%),
8/17/2029
b
445,771
Open
Text
Corporation,
Term
Loan
383,105
8.166%, 
(TSFR1M
+
2.750%),
1/31/2030
b
382,933
Peraton
Corporation,
Term
Loan
768,716
9.166%, 
(TSFR1M
+
3.750%),
2/1/2028
b
766,317
Polaris
Newco,
LLC,
Term
Loan
446,444
9.431%, 
(TSFR3M
+
4.000%),
6/4/2028
b
426,832
Proofpoint,
Inc.,
Term
Loan
329,645
8.681%, 
(TSFR1M
+
3.250%),
8/31/2028
b
326,576
RealPage,
Inc.,
Term
Loan
252,424
8.431%, 
(TSFR1M
+
3.000%),
4/22/2028
b
249,269
Tempo
Acquisition,
LLC,
Term
Loan
242,541
8.316%, 
(TSFR1M
+
2.750%),
8/31/2028
b
242,541
UKG,
Inc.,
Term
Loan
528,620
8.618%, 
(TSFR3M
+
3.250%),
5/3/2026
b
526,695
Verscend
Holding
Corporation,
Term
Loan
363,284
9.431%, 
(TSFR1M
+
4.000%),
8/27/2025
b
362,895
Total
9,742,320
Transportation
(0.4%)
AAdvantage
Loyalty
IP,
Ltd.,
Term
Loan
572,448
10.338%, 
(TSFR3M
+
4.750%),
4/20/2028
b
589,049
Air
Canada,
Term
Loan
470,414
9.128%, 
(TSFR3M
+
3.500%),
8/11/2028
b
470,315
Apple
Bidco,
LLC,
Term
Loan
164,165
8.181%, 
(TSFR1M
+
2.750%),
9/23/2028
b
162,851
Brown
Group
Holding,
LLC,
Term
Loan
198,826
8.166%, 
(TSFR1M
+
2.750%),
6/7/2028
b
196,796
Genesee
&
Wyoming,
Inc.,
Term
Loan
247,286
7.490%, 
(TSFR3M
+
2.000%),
12/30/2026
b
246,745
SkyMiles
IP,
Ltd.,
Term
Loan
449,668
9.076%, 
(TSFR3M
+
3.750%),
10/20/2027
b
465,240
Principal
Amount
Bank
Loans
(7.3%)
a
Value
Transportation
(0.4%)
-
continued
United
Airlines,
Inc.,
Term
Loan
$
563,934
9.182%, 
(TSFR3M
+
3.750%),
4/21/2028
b
$
564,064
Total
2,695,060
Utilities
(0.1%)
PG&E
Corporation,
Term
Loan
364,077
8.431%, 
(TSFR1M
+
3.000%),
6/23/2025
b
363,825
Talen
Energy
Supply,
LLC,
Term
Loan
166,250
9.877%, 
(TSFR1M
+
4.500%),
5/17/2030
b
166,771
Total
530,596
Total
Bank
Loans
(cost
$46,776,453)
46,842,454
Principal
Amount
Long-Term
Fixed
Income
(
65.2%
)
Value
Asset-Backed
Securities
(6.0%)
510
Asset
Backed
Trust
600,000
3.967%, 
5/25/2061,
Ser.
2021-NPL1,
Class
A2
f,g
510,615
747,110
2.116%, 
6/25/2061,
Ser.
2021-NPL2,
Class
A1
f,g
682,961
550,000
4.090%, 
6/25/2061,
Ser.
2021-NPL2,
Class
A2
f,g
470,097
720
East
CLO
I,
Ltd.
1,100,000
9.576%, 
(TSFR3M
+
4.250%),
1/20/2036,
Ser.
2022-1A,
Class
C
b,f
1,108,375
Affirm
Asset
Securitization
Trust
700,000
4.300%, 
5/17/2027,
Ser.
2022-A,
Class
1A
f
685,071
650,000
6.610%, 
1/18/2028,
Ser.
2023-A,
Class
A
f
645,791
800,000
6.820%, 
9/15/2028,
Ser.
2023-B,
Class
A
f
801,012
Anchorage
Capital
CLO
21,
Ltd.
875,000
7.988%, 
(TSFR3M
+
2.662%),
10/20/2034,
Ser.
2021-21A,
Class
C
b,f
860,156
Ares
XL
CLO,
Ltd.
825,000
8.370%, 
(TSFR3M
+
3.062%),
1/15/2029,
Ser.
2016-40A,
Class
CRR
b,f
807,569
Babson
CLO,
Ltd.
1,780,000
8.488%, 
(TSFR3M
+
3.162%),
7/20/2029,
Ser.
2018-3A,
Class
D
b,f
1,765,735
Barings
CLO,
Ltd.
400,000
8.738%, 
(TSFR3M
+
3.412%),
1/20/2032,
Ser.
2016-2A,
Class
DR2
b,f
392,578
Benefit
Street
Partners
CLO
II,
Ltd.
750,000
7.470%, 
(TSFR3M
+
2.162%),
7/15/2029,
Ser.
2013-IIA,
Class
BR2
b,f
749,974
Business
Jet
Securities,
LLC
116,052
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
f
108,803
802,284
4.455%, 
6/15/2037,
Ser.
2022-1A,
Class
A
f
750,044
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
57
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Asset-Backed
Securities
(6.0%)
-
continued
CarVal
CLO
VIII-C,
Ltd.
$
750,000
8.346%, 
(TSFR3M
+
3.000%),
10/22/2035,
Ser.
2022-2A,
Class
B1
b,f
$
754,253
CarVal
CLO,
Ltd.
1,250,000
9.034%, 
(TSFR3M
+
3.700%),
4/21/2034,
Ser.
2022-1A,
Class
D
b,f
1,200,410
Cascade
Funding
Mortgage
Trust,
LLC
609,598
4.250%, 
4/25/2033,
Ser.
2023-HB12,
Class
A
b,f
583,512
Dewolf
Park
CLO,
Ltd.
700,000
8.420%, 
(TSFR3M
+
3.112%),
10/15/2030,
Ser.
2017-1A,
Class
DR
b,f
672,673
Dryden
36
Senior
Loan
Fund
750,000
7.620%, 
(TSFR3M
+
2.312%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,f
738,481
FirstKey
Homes
Trust
900,000
1.968%, 
10/19/2037,
Ser.
2020-SFR2,
Class
D
f
817,363
Harley
Marine
Financing,
LLC
1,126,538
6.682%, 
5/15/2043,
Ser.
2018-1A,
Class
A2
f
1,122,739
Longfellow
Place
CLO,
Ltd.
1,550,000
7.870%, 
(TSFR3M
+
2.562%),
4/15/2029,
Ser.
2013-1A,
Class
CR3
b,f
1,545,694
Madison
Park
Funding
XVIII,
Ltd.
500,000
7.495%, 
(TSFR3M
+
2.162%),
10/21/2030,
Ser.
2015-18A,
Class
CRR
b,f
488,226
Neuberger
Berman
CLO,
Ltd.
1,225,000
8.570%, 
(TSFR3M
+
3.262%),
10/15/2029,
Ser.
2013-15A,
Class
DR2
b,f
1,166,730
OZLM
VIII,
Ltd.
1,000,000
7.220%, 
(TSFR3M
+
1.912%),
10/17/2029,
Ser.
2014-8A,
Class
A2R3
b,f
991,440
Pagaya
AI
Technology
in
Housing
Trust
1,100,000
4.250%, 
8/25/2025,
Ser.
2022-1,
Class
B
f
1,035,960
PPM
CLO
6,
Ltd.
1,000,000
9.826%, 
(TSFR3M
+
4.500%),
1/20/2031,
Ser.
2022-6A,
Class
C
b,f
999,151
Preston
Ridge
Partners
Mortgage
Trust,
LLC
325,000
3.474%, 
7/25/2026,
Ser.
2021-6,
Class
A2
f,g
264,919
Pretium
Mortgage
Credit
Partners,
LLC
1,250,000
5.438%, 
1/25/2052,
Ser.
2022-NPL1,
Class
A2
f,g
1,129,109
182,190
5.240%, 
4/25/2052,
Ser.
2022-NPL2,
Class
A1
f,g
177,029
950,000
3.844%, 
6/27/2060,
Ser.
2021-NPL2,
Class
A2
f,g
754,917
1,000,000
3.721%, 
7/25/2051,
Ser.
2021-NPL3,
Class
A2
f,g
800,430
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Asset-Backed
Securities
(6.0%)
-
continued
Progress
Residential
Trust
$
1,500,000
3.600%, 
4/17/2039,
Ser.
2022-SFR3,
Class
B
f
$
1,364,292
Renaissance
Home
Equity
Loan
Trust
1,130,711
5.797%, 
8/25/2036,
Ser.
2006-2,
Class
AF3
g
447,740
Saxon
Asset
Securities
Trust
399,056
2.869%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
331,141
Sculptor
CLO,
Ltd.
625,000
7.988%, 
(TSFR3M
+
2.662%),
1/20/2035,
Ser.
28A,
Class
C
b,f
614,703
Silver
Point
CLO
2,
Ltd.
1,200,000
7.782%, 
(TSFR3M
+
2.700%),
4/20/2035,
Ser.
2023-2A,
Class
A2
b,f
1,206,756
Stanwich
Mortgage
Loan
Company,
LLC
532,963
2.735%, 
10/16/2026,
Ser.
2021-NPB1,
Class
A1
f,g
485,677
Stratus
CLO,
Ltd.
950,000
8.376%, 
(TSFR3M
+
3.050%),
10/20/2031,
Ser.
2022-3A,
Class
B
b,f
952,459
Unlock
HEA
Trust
1,000,000
7.000%, 
10/25/2038,
Ser.
2023-1,
Class
A
e,f
943,695
Upstart
Securitization
Trust
499,327
6.590%, 
2/20/2033,
Ser.
2023-1,
Class
A
f
498,311
VCAT
Asset
Securitization,
LLC
250,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
f,g
225,246
Vericrest
Opportunity
Loan
Transferee
950,000
4.826%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A2
f,g
755,950
1,150,000
4.949%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A2
f,g
874,034
790,000
4.826%, 
4/25/2051,
Ser.
2021-NPL6,
Class
A2
f,g
593,804
225,000
4.949%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A2
f,g
170,123
1,250,000
4.826%, 
5/25/2051,
Ser.
2021-NPL9,
Class
A2
f,g
944,142
275,000
5.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
f,g
207,199
Whitebox
CLO
III,
Ltd.
725,000
7.770%, 
(TSFR3M
+
2.462%),
10/15/2034,
Ser.
2021-3A,
Class
C
b,f
716,241
Whitebox
CLO
IV,
Ltd.
800,000
7.380%, 
(TSFR3M
+
2.600%),
4/20/2036,
Ser.
2023-4A,
Class
B
b,f
795,895
Wind
River
CLO,
Ltd.
725,000
7.588%, 
(TSFR3M
+
2.262%),
7/20/2030,
Ser.
2013-1A,
Class
BRR
b,f
720,299
Total
38,429,524
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
58
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Basic
Materials
(1.1%)
Anglo
American
Capital
plc
$
70,000
3.875%, 
3/16/2029
f
$
62,727
ATI,
Inc.
172,000
7.250%, 
8/15/2030
170,710
ATI,
Inc.,
Convertible
162,000
3.500%, 
6/15/2025
435,699
Cascades,
Inc./Cascades
USA,
Inc.
210,000
5.125%, 
1/15/2026
f
201,023
Chemours
Company
290,000
5.750%, 
11/15/2028
f
251,691
Cleveland-Cliffs,
Inc.
183,000
5.875%, 
6/1/2027
h
174,181
160,000
4.625%, 
3/1/2029
f
139,370
Consolidated
Energy
Finance
SA
483,000
5.625%, 
10/15/2028
f
399,079
Ecolab,
Inc.
119,000
2.125%, 
2/1/2032
93,323
EIDP,
Inc.
72,000
4.500%, 
5/15/2026
70,130
First
Quantum
Minerals,
Ltd.
394,000
6.875%, 
10/15/2027
f
377,995
FMC
Corporation
77,000
5.150%, 
5/18/2026
74,808
Glencore
Funding,
LLC
147,000
4.000%, 
3/27/2027
f
137,982
168,000
6.125%, 
10/6/2028
e,f
167,712
78,000
6.375%, 
10/6/2030
e,f
77,790
Hecla
Mining
Company
120,000
7.250%, 
2/15/2028
116,099
Hudbay
Minerals,
Inc.
280,000
4.500%, 
4/1/2026
f
261,961
Illuminate
Buyer,
LLC/Illuminate
Holdings
IV,
Inc.
193,000
9.000%, 
7/1/2028
f
182,279
International
Flavors
&
Fragrances,
Inc.
133,000
1.230%, 
10/1/2025
f
119,221
Mineral
Resources,
Ltd.
48,000
9.250%, 
10/1/2028
f
48,480
Mosaic
Company
171,000
4.050%, 
11/15/2027
160,512
Novelis
Corporation
110,000
3.250%, 
11/15/2026
f
98,241
160,000
4.750%, 
1/30/2030
f
138,472
110,000
3.875%, 
8/15/2031
f
87,844
Nutrien,
Ltd.
188,000
4.000%, 
12/15/2026
178,184
OCI
NV
108,000
4.625%, 
10/15/2025
f
102,109
Olin
Corporation
341,000
5.125%, 
9/15/2027
318,838
Peabody
Energy
Corporation,
Convertible
158,000
3.250%, 
3/1/2028
h
238,185
SCIL
IV,
LLC/SCIL
USA
Holdings,
LLC
297,000
5.375%, 
11/1/2026
f
271,374
SNF
Group
SACA
286,000
3.375%, 
3/15/2030
f
230,831
SunCoke
Energy,
Inc.
309,000
4.875%, 
6/30/2029
f
262,565
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Basic
Materials
(1.1%)
-
continued
Taseko
Mines,
Ltd.
$
211,000
7.000%, 
2/15/2026
f
$
197,101
Unifrax
Escrow
Issuer
Corporation
261,000
5.250%, 
9/30/2028
f
185,870
United
States
Steel
Corporation
303,000
6.875%, 
3/1/2029
297,866
United
States
Steel
Corporation,
Convertible
184,000
5.000%, 
11/1/2026
453,192
Westlake
Corporation
98,000
3.600%, 
8/15/2026
92,575
Total
6,876,019
Capital
Goods
(1.9%)
Advanced
Drainage
Systems,
Inc.
182,000
6.375%, 
6/15/2030
f
174,802
Amcor
Finance
USA,
Inc.
88,000
5.625%, 
5/26/2033
84,495
Amphenol
Corporation
83,000
4.750%, 
3/30/2026
81,522
ARD
Finance
SA
93,000
6.500%, 
6/30/2027
f
70,163
Ardagh
Packaging
Finance
plc/
Ardagh
Holdings
USA,
Inc.
168,000
5.250%, 
8/15/2027
f
140,195
116,000
5.250%, 
8/15/2027
f
96,801
Boeing
Company
255,000
4.875%, 
5/1/2025
250,619
166,000
2.196%, 
2/4/2026
152,418
147,000
3.250%, 
3/1/2028
132,100
196,000
5.150%, 
5/1/2030
187,278
Bombardier,
Inc.
44,000
7.125%, 
6/15/2026
f
42,630
347,000
7.875%, 
4/15/2027
f
338,584
122,000
6.000%, 
2/15/2028
f
110,678
Brand
Industrial
Services,
Inc.
83,000
10.375%, 
8/1/2030
f
83,128
Builders
FirstSource,
Inc.
185,000
5.000%, 
3/1/2030
f
164,947
Canpack
SA/Canpack
US,
LLC
303,000
3.125%, 
11/1/2025
f
279,512
Carrier
Global
Corporation
147,000
2.722%, 
2/15/2030
122,506
Chart
Industries,
Inc.
289,000
7.500%, 
1/1/2030
f
290,584
Chart
Industries,
Inc.,
Convertible
189,000
1.000%, 
11/15/2024
548,856
Clydesdale
Acquisition
Holdings,
Inc.
39,000
6.625%, 
4/15/2029
f
36,262
79,000
8.750%, 
4/15/2030
f
67,755
Cornerstone
Building
Brands,
Inc.
202,000
6.125%, 
1/15/2029
f
153,135
Covanta
Holding
Corporation
180,000
4.875%, 
12/1/2029
f
147,672
CP
Atlas
Buyer,
Inc.
250,000
7.000%, 
12/1/2028
f
196,034
Crown
Cork
&
Seal
Company,
Inc.
244,000
7.375%, 
12/15/2026
247,660
Fluor
Corporation,
Convertible
503,000
1.125%, 
8/15/2029
f
519,850
GFL
Environmental,
Inc.
233,000
4.000%, 
8/1/2028
f
203,588
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
59
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Capital
Goods
(1.9%)
-
continued
$
219,000
3.500%, 
9/1/2028
f
$
188,539
Greenbrier
Companies,
Inc.,
Convertible
337,000
2.875%, 
4/15/2028
317,454
H&E
Equipment
Services,
Inc.
486,000
3.875%, 
12/15/2028
f
414,993
Herc
Holdings,
Inc.
260,000
5.500%, 
7/15/2027
f
245,870
Howmet
Aerospace,
Inc.
132,000
6.750%, 
1/15/2028
132,921
Huntington
Ingalls
Industries,
Inc.
147,000
4.200%, 
5/1/2030
132,943
Ingersoll
Rand,
Inc.
43,000
5.700%, 
8/14/2033
41,500
John
Deere
Capital
Corporation
80,000
5.150%, 
9/8/2026
79,748
80,000
4.950%, 
7/14/2028
78,895
184,000
2.800%, 
7/18/2029
162,063
82,000
4.700%, 
6/10/2030
78,854
91,000
3.900%, 
6/7/2032
81,981
46,000
5.150%, 
9/8/2033
44,984
Kaman
Corporation,
Convertible
138,000
3.250%, 
5/1/2024
133,957
L3Harris
Technologies,
Inc.
78,000
5.400%, 
1/15/2027
77,321
Mauser
Packaging
Solutions
Holding
Company
137,000
9.250%, 
4/15/2027
f
119,750
MIWD
Holdco
II,
LLC
158,000
5.500%, 
2/1/2030
f
130,547
Mueller
Water
Products,
Inc.
161,000
4.000%, 
6/15/2029
f
140,216
Nesco
Holdings
II,
Inc.
295,000
5.500%, 
4/15/2029
f
258,863
New
Enterprise
Stone
and
Lime
Company,
Inc.
370,000
5.250%, 
7/15/2028
f
331,990
Northrop
Grumman
Corporation
42,000
4.700%, 
3/15/2033
39,212
OI
European
Group
BV
305,000
4.750%, 
2/15/2030
f
265,306
Otis
Worldwide
Corporation
122,000
2.056%, 
4/5/2025
115,179
Owens-Brockway
Glass
Container,
Inc.
140,000
6.625%, 
5/13/2027
f
136,483
Pactiv
Evergreen
Group
225,000
4.375%, 
10/15/2028
f
195,223
Parker-Hannifin
Corporation
79,000
4.250%, 
9/15/2027
75,475
Patrick
Industries,
Inc.,
Convertible
134,000
1.750%, 
12/1/2028
126,429
PGT
Innovations,
Inc.
298,000
4.375%, 
10/1/2029
f
274,781
Republic
Services,
Inc.
79,000
3.950%, 
5/15/2028
74,152
Roller
Bearing
Company
of
America,
Inc.
217,000
4.375%, 
10/15/2029
f
186,655
Sealed
Air
Corporation
241,000
6.125%, 
2/1/2028
f
233,413
Silgan
Holdings,
Inc.
116,000
4.125%, 
2/1/2028
103,779
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Capital
Goods
(1.9%)
-
continued
SRM
Escrow
Issuer,
LLC
$
342,000
6.000%, 
11/1/2028
f
$
315,824
Textron,
Inc.
147,000
3.650%, 
3/15/2027
137,248
Titan
Acquisition,
Ltd./Titan
Co-
Borrower,
LLC
125,000
7.750%, 
4/15/2026
f
122,500
TransDigm,
Inc.
267,000
6.250%, 
3/15/2026
f
262,349
738,000
5.500%, 
11/15/2027
691,026
Triumph
Group,
Inc.
247,000
9.000%, 
3/15/2028
f
244,235
United
Rentals
North
America,
Inc.
240,000
4.000%, 
7/15/2030
204,534
Veralto
Corporation
82,000
5.350%, 
9/18/2028
f
81,073
Waste
Connections,
Inc.
46,000
3.200%, 
6/1/2032
38,163
Waste
Management,
Inc.
78,000
4.875%, 
2/15/2029
76,269
Waste
Pro
USA,
Inc.
140,000
5.500%, 
2/15/2026
f
130,729
Total
12,247,200
Collateralized
Mortgage
Obligations
(5.1%)
A&D
Mortgage
Trust
591,717
6.733%, 
7/25/2068,
Ser.
2023-NQM3,
Class
A1
f,g
590,954
Alternative
Loan
Trust
373,940
6.000%, 
8/1/2036,
Ser.
2006-24CB,
Class
A9
204,216
Banc
of
America
Alternative
Loan
Trust
728,937
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
609,211
Banc
of
America
Mortgage
Securities
Trust
318,797
5.499%, 
9/25/2035,
Ser.
2005-H,
Class
3A1
b
287,157
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
23,475
7.670%, 
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
b
21,790
CAFL
Issuer,
LLC
950,000
2.239%, 
3/28/2029,
Ser.
2021-RTL1,
Class
A1
f
878,028
CHL
Mortgage
Pass-Through
Trust
323,582
4.063%, 
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
307,865
716,729
6.000%, 
11/25/2037,
Ser.
2007-18,
Class
1A2
285,222
CHNGE
Mortgage
Trust
1,041,954
3.757%, 
3/25/2067,
Ser.
2022-2,
Class
A1
b,f
956,639
1,029,473
5.000%, 
5/25/2067,
Ser.
2022-3,
Class
A1
b,f
995,934
1,128,529
6.525%, 
6/25/2058,
Ser.
2023-2,
Class
A1
f,g
1,108,112
579,963
5.820%, 
6/25/2067,
Ser.
2022-NQM1,
Class
A3
f,g
558,101
711,426
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
f,g
707,454
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
60
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Collateralized
Mortgage
Obligations
(5.1%)
-
continued
$
639,196
6.000%, 
10/25/2057,
Ser.
2022-4,
Class
A1
f,g
$
622,175
CIM
Trust
1,031,746
7.100%, 
4/25/2058,
Ser.
2023-I1,
Class
A3
f,g
1,023,617
Citigroup
Mortgage
Loan
Trust,
Inc.
258,345
5.500%, 
8/25/2034,
Ser.
2004-NCM2,
Class
1CB1
222,898
53,034
4.524%, 
3/25/2037,
Ser.
2007-AR4,
Class
2A1A
b
51,721
739,589
4.259%, 
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
631,064
Countrywide
Alternative
Loan
Trust
355,032
5.000%, 
3/25/2035,
Ser.
2005-3CB,
Class
1A1
283,951
182,144
3.784%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
b
146,938
132,273
3.991%, 
10/25/2035,
Ser.
2005-43,
Class
1A1
b
112,695
195,549
5.500%, 
2/25/2036,
Ser.
2005-85CB,
Class
2A2
149,387
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
269,515
3.728%, 
11/25/2035,
Ser.
2005-22,
Class
2A1
b
214,600
Credit
Suisse
Mortgage
Trust
523,951
6.567%, 
8/25/2067,
Ser.
2022-ATH3,
Class
A3
b,f
511,398
394,254
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
b,f
311,963
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
549,914
5.250%, 
6/25/2035,
Ser.
2005-3,
Class
4A6
476,995
Eagle
RE,
Ltd.
1,000,000
9.265%, 
(SOFR30A
+
3.950%),
9/26/2033,
Ser.
2023-1,
Class
M1B
b,e,f
1,000,000
Federal
Home
Loan
Mortgage
Corporation
1,319,792
3.500%, 
8/15/2035,
Ser.
345,
Class
C8
i
142,579
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
1,450,903
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
1,368,833
1,238,559
Zero
Coupon, 
9/25/2053,
Ser.
5334,
Class
BO
921,720
4,234,273
1.500%, 
12/25/2050,
Ser.
5107,
Class
IO
i
351,633
123,516
2.500%, 
5/15/2027,
Ser.
4106,
Class
HI
i
2,299
621,257
3.000%, 
5/15/2027,
Ser.
4046,
Class
GI
i
19,542
563,031
3.000%, 
7/15/2027,
Ser.
4084,
Class
NI
i
20,680
849,675
3.000%, 
7/15/2027,
Ser.
4074,
Class
IO
i
32,213
282,886
2.500%, 
2/15/2028,
Ser.
4162,
Class
AI
i
10,068
594,971
2.500%, 
2/15/2028,
Ser.
4161,
Class
UI
i
20,984
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Collateralized
Mortgage
Obligations
(5.1%)
-
continued
$
917,126
2.500%, 
3/15/2028,
Ser.
4177,
Class
EI
i
$
34,417
1,040,459
3.500%, 
10/15/2032,
Ser.
4119,
Class
KI
i
101,766
640,162
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
i
54,485
1,138,766
3.000%, 
4/15/2033,
Ser.
4203,
Class
DI
i
57,571
Federal
National
Mortgage
Association
-
REMIC
1,005,386
4.500%, 
6/25/2052,
Ser.
2022-43,
Class
MA
957,960
2,196,347
4.000%, 
7/25/2052,
Ser.
2022-37,
Class
PE
2,065,990
1,023,617
3.000%, 
7/25/2027,
Ser.
2012-73,
Class
DI
i
33,601
685,730
3.000%, 
7/25/2027,
Ser.
2012-74,
Class
AI
i
23,182
1,158,319
3.000%, 
8/25/2027,
Ser.
2012-95,
Class
HI
i
30,560
701,837
3.500%, 
9/25/2027,
Ser.
2012-98,
Class
YI
i
26,395
1,970,437
3.000%, 
11/25/2027,
Ser.
2012-121,
Class
BI
i
78,654
1,432,832
3.000%, 
12/25/2027,
Ser.
2012-139,
Class
DI
i
52,533
511,506
2.500%, 
1/25/2028,
Ser.
2012-152,
Class
AI
i
17,662
1,303,162
3.000%, 
1/25/2028,
Ser.
2012-147,
Class
EI
i
42,936
377,489
2.500%, 
2/25/2028,
Ser.
2013-46,
Class
CI
i
10,388
727,740
3.000%, 
2/25/2028,
Ser.
2013-2,
Class
GI
i
29,027
264,083
3.000%, 
4/25/2028,
Ser.
2013-30,
Class
DI
i
10,924
835,495
3.000%, 
11/25/2031,
Ser.
2013-69,
Class
IO
i
22,769
974,521
3.000%, 
2/25/2033,
Ser.
2013-1,
Class
YI
i
83,276
945,016
4.500%, 
1/25/2046,
Ser.
2022-68,
Class
BA
913,461
First
Horizon
Alternative
Mortgage
Securities
Trust
126,009
6.392%, 
3/25/2035,
Ser.
2005-AA2,
Class
1A1
b
117,680
114,384
6.038%, 
7/25/2035,
Ser.
2005-AA5,
Class
2A1
b
103,035
Flagstar
Mortgage
Trust
384,423
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
b,f
319,113
GCAT
Trust
478,631
5.730%, 
8/25/2067,
Ser.
2022-NQM4,
Class
A3
f,g
463,611
Genworth
Mortgage
Insurance
Corporation
249,700
7.215%, 
(SOFR30A
+
1.900%),
2/25/2034,
Ser.
2021-3,
Class
M1A
b,f
250,032
GMAC
Mortgage
Corporation
Loan
Trust
394,284
3.530%, 
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
319,178
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
61
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Collateralized
Mortgage
Obligations
(5.1%)
-
continued
Government
National
Mortgage
Association
$
157,906
4.000%, 
1/16/2027,
Ser.
2012-3,
Class
IO
i
$
4,287
GS
Mortgage-Backed
Securities
Trust
724,975
5.500%, 
10/27/2053,
Ser.
2023-PJ3,
Class
A16
b,f
700,139
Home
RE,
Ltd.
850,000
8.815%, 
(SOFR30A
+
3.500%),
10/25/2034,
Ser.
2022-1,
Class
M1B
b,f
866,401
IndyMac
IMJA
Mortgage
Loan
Trust
562,001
6.250%, 
11/25/2037,
Ser.
2007-A3,
Class
A1
245,405
J.P.
Morgan
Mortgage
Trust
499,917
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
b,f
388,805
739,042
5.000%, 
10/25/2053,
Ser.
2023-3,
Class
A4A
b,f
702,379
64,785
6.500%, 
1/25/2035,
Ser.
2005-S1,
Class
1A2
63,526
295,798
4.198%, 
2/25/2036,
Ser.
2006-A1,
Class
2A2
b
222,788
Merrill
Lynch
Alternative
Note
Asset
Trust
507,273
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
192,494
MortgageIT
Trust
1,260,931
5.894%, 
(TSFR1M
+
0.574%),
6/25/2047,
Ser.
2007-1,
Class
1A1
b
1,010,822
PRKCM
Trust
1,109,284
7.087%, 
6/25/2058,
Ser.
2023-AFC2,
Class
A3
f
1,102,531
Residential
Accredit
Loans,
Inc.
Trust
323,403
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
266,926
212,358
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
159,081
210,307
6.250%, 
4/25/2037,
Ser.
2007-QS6,
Class
A6
164,364
Residential
Asset
Securitization
Trust
327,985
3.785%, 
1/25/2034,
Ser.
2004-IP1,
Class
A1
b
298,466
Residential
Funding
Mortgage
Security
I
Trust
468,920
6.000%, 
7/25/2037,
Ser.
2007-S7,
Class
A20
348,774
ROC
Securities
Trust
Series
900,000
2.487%, 
8/25/2026,
Ser.
2021-RTL1,
Class
A1
b,f
875,704
Sequoia
Mortgage
Trust
378,478
3.482%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
b
257,131
Structured
Adjustable
Rate
Mortgage
Loan
Trust
144,478
4.570%, 
7/25/2035,
Ser.
2005-15,
Class
4A1
b
121,327
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Collateralized
Mortgage
Obligations
(5.1%)
-
continued
TVC
Mortgage
Trust
$
900,000
8.250%, 
11/25/2027,
Ser.
2023-RTL1,
Class
A1
f
$
896,977
Verus
Securitization
Trust
873,734
2.491%, 
11/25/2066,
Ser.
2021-8,
Class
A3
b,f
708,178
585,455
6.560%, 
12/25/2067,
Ser.
2023-1,
Class
A2
f,g
580,708
WaMu
Mortgage
Pass-Through
Certificates
116,232
4.639%, 
5/25/2033,
Ser.
2003-AR4,
Class
A7
b
110,847
Washington
Mutual
Mortgage
Pass-Through
Certificates
253,759
6.000%, 
3/25/2035,
Ser.
2005-1,
Class
2A
202,098
Total
32,871,000
Commercial
Mortgage-Backed
Securities
(0.7%)
BANK5
2023-5YR1
1,000,000
6.625%, 
4/15/2056,
Ser.
2023-5YR1,
Class
AS
b
985,793
BBCMS
Mortgage
Trust
1,253,875
0.839%, 
2/15/2055,
Ser.
2022-C14,
Class
XA
b,i
49,823
3,991,515
1.325%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
b,i
301,112
BFLD
Trust
950,000
7.147%, 
(TSFR1M
+
1.814%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,f
559,324
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
650,000
4.200%, 
5/25/2033,
Ser.
K-157,
Class
A2
j
597,829
MSWF
Commercial
Mortgage
Trust
900,000
5.752%, 
5/15/2033,
Ser.
2023-1,
Class
A5
886,442
SCOTT
Trust
650,000
5.910%, 
3/15/2040,
Ser.
2023-SFS,
Class
A
f
630,041
Silver
Hill
Trust
282,378
3.102%, 
11/25/2049,
Ser.
2019-1,
Class
A1
b,f
265,864
Total
4,276,228
Communications
Services
(2.4%)
Allen
Media,
LLC/Allen
Media
Co-
Issuer,
Inc.
261,000
10.500%, 
2/15/2028
f
149,284
Altice
Financing
SA
130,000
5.750%, 
8/15/2029
f
106,539
Altice
France
SA/France
135,000
8.125%, 
2/1/2027
f
119,717
156,000
5.125%, 
7/15/2029
f
110,901
359,000
5.500%, 
10/15/2029
f
258,162
AMC
Networks,
Inc.
120,000
5.000%, 
4/1/2024
118,343
371,000
4.250%, 
2/15/2029
227,644
American
Tower
Corporation
161,000
4.400%, 
2/15/2026
155,878
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
62
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Communications
Services
(2.4%)
-
continued
$
96,000
1.450%, 
9/15/2026
$
84,603
127,000
5.500%, 
3/15/2028
124,598
88,000
5.800%, 
11/15/2028
87,338
126,000
3.800%, 
8/15/2029
112,078
AT&T,
Inc.
288,000
4.300%, 
2/15/2030
262,253
88,000
5.400%, 
2/15/2034
82,359
Bell
Telephone
Company
of
Canada
87,000
5.100%, 
5/11/2033
81,329
Cable
One,
Inc.,
Convertible
513,000
1.125%, 
3/15/2028
381,672
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
180,000
5.500%, 
5/1/2026
f
173,866
460,000
5.125%, 
5/1/2027
f
428,589
195,000
5.000%, 
2/1/2028
f
177,087
460,000
4.750%, 
3/1/2030
f
386,148
224,000
4.250%, 
2/1/2031
f
178,313
109,000
4.750%, 
2/1/2032
f
87,200
250,000
4.250%, 
1/15/2034
f
184,070
Cengage
Learning,
Inc.
12,000
9.500%, 
6/15/2024
f
12,010
CenterPoint
Energy,
Inc.,
Convertible
11,250
3.369%, 
9/15/2029
453,712
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
104,000
4.908%, 
7/23/2025
101,624
147,000
5.050%, 
3/30/2029
137,409
Cimpress
plc
173,000
7.000%, 
6/15/2026
161,912
Clear
Channel
Outdoor
Holdings,
Inc.
52,000
7.500%, 
6/1/2029
f,h
39,761
Clear
Channel
Worldwide
Holdings,
Inc.
408,000
5.125%, 
8/15/2027
f
362,301
Comcast
Corporation
97,000
2.350%, 
1/15/2027
87,855
210,000
3.400%, 
4/1/2030
185,234
Connect
Finco
SARL/Connect
US
Finco,
LLC
149,000
6.750%, 
10/1/2026
f
138,972
Crown
Castle,
Inc.
133,000
2.900%, 
3/15/2027
120,634
CSC
Holdings,
LLC
540,000
5.375%, 
2/1/2028
f
439,620
253,000
6.500%, 
2/1/2029
f
209,594
48,000
4.125%, 
12/1/2030
f
33,970
Deutsche
Telekom
International
Finance
BV
244,000
8.750%, 
6/15/2030
279,488
DIRECTV
Financing,
LLC/DIRECTV
Financing
Co-Obligor,
Inc.
437,000
5.875%, 
8/15/2027
f
386,387
DISH
DBS
Corporation
99,000
5.875%, 
11/15/2024
92,148
136,000
5.250%, 
12/1/2026
f
115,580
101,000
7.375%, 
7/1/2028
63,639
44,000
5.750%, 
12/1/2028
f
33,825
152,000
5.125%, 
6/1/2029
84,266
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Communications
Services
(2.4%)
-
continued
DISH
Network
Corporation
$
137,000
11.750%, 
11/15/2027
f
$
138,023
Frontier
Communications
Holdings,
LLC
322,000
5.875%, 
10/15/2027
f
292,849
116,000
6.750%, 
5/1/2029
f
89,248
73,000
8.750%, 
5/15/2030
f
69,312
GCI,
LLC
225,000
4.750%, 
10/15/2028
f
194,062
Gray
Escrow
II,
Inc.
374,000
5.375%, 
11/15/2031
f
244,760
Gray
Television,
Inc.
270,000
4.750%, 
10/15/2030
f,h
178,867
Hughes
Satellite
Systems
Corporation
150,000
6.625%, 
8/1/2026
128,250
Iliad
Holding
SASU
356,000
6.500%, 
10/15/2026
f
334,467
Lamar
Media
Corporation
154,000
3.625%, 
1/15/2031
125,411
LCPR
Senior
Secured
Financing
DAC
225,000
6.750%, 
10/15/2027
f
206,662
Level
3
Financing,
Inc.
387,000
4.625%, 
9/15/2027
f
278,318
119,000
4.250%, 
7/1/2028
f
74,141
138,000
10.500%, 
5/15/2030
f
138,909
McGraw-Hill
Education,
Inc.
191,000
5.750%, 
8/1/2028
f
164,785
18,000
8.000%, 
8/1/2029
f
15,615
Meta
Platforms,
Inc.
85,000
4.600%, 
5/15/2028
83,148
88,000
4.800%, 
5/15/2030
85,716
News
Corporation
276,000
3.875%, 
5/15/2029
f
237,360
NTT
Finance
Corporation
117,000
1.162%, 
4/3/2026
f
105,017
Outfront
Media
Capital,
LLC/
Outfront
Media
Capital
Corporation
120,000
6.250%, 
6/15/2025
f
117,567
104,000
4.625%, 
3/15/2030
f,h
81,755
Paramount
Global
125,000
6.375%, 
3/30/2062
b
98,176
79,000
4.750%, 
5/15/2025
76,838
Playtika
Holding
Corporation
248,000
4.250%, 
3/15/2029
f
207,080
Radiate
Holdco,
LLC/Radiate
Finance,
Inc.
155,000
6.500%, 
9/15/2028
f
81,375
Rogers
Communications,
Inc.
50,000
5.250%, 
3/15/2082
b,f
44,214
Scripps
Escrow
II,
Inc.
111,000
3.875%, 
1/15/2029
f
83,476
Sirius
XM
Radio,
Inc.
296,000
5.000%, 
8/1/2027
f
270,366
200,000
4.000%, 
7/15/2028
f
170,714
Sprint
Capital
Corporation
195,000
6.875%, 
11/15/2028
201,337
136,000
8.750%, 
3/15/2032
157,331
TEGNA,
Inc.
354,000
4.625%, 
3/15/2028
306,210
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
63
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Communications
Services
(2.4%)
-
continued
Telecom
Italia
Capital
SA
$
88,000
6.000%, 
9/30/2034
$
73,373
Telecom
Italia
SPA/Milano
120,000
5.303%, 
5/30/2024
f
117,983
Telesat
Canada/Telesat,
LLC
150,000
4.875%, 
6/1/2027
f
97,201
55,000
6.500%, 
10/15/2027
f
28,050
T-Mobile
USA,
Inc.
113,000
3.500%, 
4/15/2025
109,035
165,000
3.375%, 
4/15/2029
145,124
United
States
Cellular
Corporation
250,000
6.700%, 
12/15/2033
243,125
Uniti
Group,
LP/Uniti
Group
Finance,
Inc./CSL
Capital,
LLC
366,000
4.750%, 
4/15/2028
f
298,869
Univision
Communications,
Inc.
265,000
6.625%, 
6/1/2027
f
246,802
Verizon
Communications,
Inc.
161,000
2.100%, 
3/22/2028
138,289
147,000
3.150%, 
3/22/2030
125,470
221,000
2.550%, 
3/21/2031
175,968
194,000
2.355%, 
3/15/2032
148,014
Vodafone
Group
plc
220,000
7.000%, 
4/4/2079
b
218,506
VTR
Finance
NV
190,000
6.375%, 
7/15/2028
f
70,915
VZ
Secured
Financing
BV
253,000
5.000%, 
1/15/2032
f
198,745
Walt
Disney
Company
80,000
3.800%, 
3/22/2030
72,565
Warnermedia
Holdings,
Inc.
87,000
3.638%, 
3/15/2025
83,911
230,000
4.054%, 
3/15/2029
204,921
YPSO
Finance
BIS
SA
122,000
10.500%, 
5/15/2027
f
76,089
Total
15,572,226
Consumer
Cyclical
(3.5%)
1011778
B.C.,
ULC/New
Red
Finance,
Inc.
440,000
4.375%, 
1/15/2028
f
396,593
Adient
Global
Holdings,
Ltd.
157,000
4.875%, 
8/15/2026
f
148,073
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation
150,000
6.625%, 
7/15/2026
f
142,131
135,000
6.000%, 
6/1/2029
f
100,641
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation/
Atlas
Luxco
4
SARL
410,000
4.625%, 
6/1/2028
f
341,678
Allison
Transmission,
Inc.
158,000
3.750%, 
1/30/2031
f
127,727
Amazon.com,
Inc.
98,000
1.500%, 
6/3/2030
77,584
175,000
4.700%, 
12/1/2032
167,085
American
Axle
&
Manufacturing,
Inc.
370,000
6.500%, 
4/1/2027
351,289
American
Honda
Finance
Corporation
88,000
4.600%, 
4/17/2030
83,473
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Consumer
Cyclical
(3.5%)
-
continued
Arko
Corporation
$
185,000
5.125%, 
11/15/2029
f
$
149,210
Ashton
Woods
USA,
LLC/Ashton
Woods
Finance
Company
180,000
4.625%, 
8/1/2029
f
151,896
106,000
4.625%, 
4/1/2030
f
86,771
Best
Buy
Company,
Inc.
98,000
1.950%, 
10/1/2030
76,412
Bloomin'
Brands,
Inc.,
Convertible
89,000
5.000%, 
5/1/2025
194,854
Booking
Holdings,
Inc.,
Convertible
163,000
0.750%, 
5/1/2025
272,210
Boyd
Gaming
Corporation
270,000
4.750%, 
6/15/2031
f
229,764
Boyne
USA,
Inc.
106,000
4.750%, 
5/15/2029
f
92,713
Brookfield
Residential
Properties,
Inc./Brookfield
Residential
US,
LLC
169,000
6.250%, 
9/15/2027
f
152,154
Burlington
Stores,
Inc.,
Convertible
278,000
2.250%, 
4/15/2025
269,493
Caesars
Entertainment,
Inc.
55,000
8.125%, 
7/1/2027
f
55,262
298,000
4.625%, 
10/15/2029
f
252,424
Carnival
Corporation
152,000
7.625%, 
3/1/2026
f
147,863
427,000
5.750%, 
3/1/2027
f
386,531
112,000
4.000%, 
8/1/2028
f
97,113
Cedar
Fair,
LP
276,000
5.250%, 
7/15/2029
239,872
Churchill
Downs,
Inc.
185,000
4.750%, 
1/15/2028
f
166,878
116,000
6.750%, 
5/1/2031
f
109,620
Cinemark
USA,
Inc.
325,000
5.875%, 
3/15/2026
f,h
312,039
Clarios
Global,
LP/Clarios
US
Finance
Company,
Inc.
140,000
8.500%, 
5/15/2027
f,h
139,598
287,000
6.750%, 
5/15/2028
f
280,184
Cracker
Barrel
Old
Country
Store,
Inc.,
Convertible
14,000
0.625%, 
6/15/2026
11,559
D.R.
Horton,
Inc.
56,000
2.600%, 
10/15/2025
52,399
Expedia
Group,
Inc.
146,000
3.250%, 
2/15/2030
123,487
Expedia
Group,
Inc.,
Convertible
541,000
Zero
Coupon, 
2/15/2026
470,021
Ford
Motor
Company
445,000
3.250%, 
2/12/2032
342,945
251,000
6.100%, 
8/19/2032
h
236,420
Ford
Motor
Company,
Convertible
620,000
Zero
Coupon, 
3/15/2026
609,150
Ford
Motor
Credit
Company,
LLC
210,000
2.300%, 
2/10/2025
196,973
720,000
4.134%, 
8/4/2025
682,620
367,000
2.700%, 
8/10/2026
327,498
168,000
2.900%, 
2/10/2029
137,877
Forestar
Group,
Inc.
185,000
3.850%, 
5/15/2026
f
167,923
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
64
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Consumer
Cyclical
(3.5%)
-
continued
General
Motors
Company
$
147,000
6.800%, 
10/1/2027
$
150,015
General
Motors
Financial
Company,
Inc.
233,000
3.950%, 
4/13/2024
229,880
83,000
1.200%, 
10/15/2024
78,887
43,000
2.900%, 
2/26/2025
41,025
111,000
2.750%, 
6/20/2025
104,495
135,000
5.800%, 
6/23/2028
131,884
196,000
5.700%, 
9/30/2030
b,k
167,503
Goodyear
Tire
&
Rubber
Company
185,000
5.000%, 
7/15/2029
159,344
Guitar
Center
Escrow
Issuer
II,
Inc.
89,000
8.500%, 
1/15/2026
f,h
77,297
Hanesbrands,
Inc.
257,000
4.875%, 
5/15/2026
f,h
235,607
Hilton
Domestic
Operating
Company,
Inc.
161,000
4.875%, 
1/15/2030
146,522
114,000
3.625%, 
2/15/2032
f
91,906
Hilton
Grand
Vacations
Borrower
Escrow,
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
Inc.
183,000
5.000%, 
6/1/2029
f
158,743
Home
Depot,
Inc.
137,000
3.250%, 
4/15/2032
117,540
Hyatt
Hotels
Corporation
79,000
5.750%, 
1/30/2027
78,493
Hyundai
Capital
America
57,000
5.500%, 
3/30/2026
f
56,252
147,000
3.000%, 
2/10/2027
f
133,181
94,000
2.100%, 
9/15/2028
f
77,994
International
Game
Technology
plc
347,000
5.250%, 
1/15/2029
f
319,764
Jacobs
Entertainment,
Inc.
158,000
6.750%, 
2/15/2029
f
140,225
Jaguar
Land
Rover
Automotive
plc
305,000
5.500%, 
7/15/2029
f
260,774
KB
Home
240,000
4.800%, 
11/15/2029
211,200
Kohl's
Corporation
81,000
4.625%, 
5/1/2031
54,435
L
Brands,
Inc.
370,000
6.625%, 
10/1/2030
f
346,879
100,000
6.875%, 
11/1/2035
89,308
Lennar
Corporation
110,000
4.750%, 
5/30/2025
107,612
Light
&
Wonder
International,
Inc.
241,000
7.250%, 
11/15/2029
f
236,180
Live
Nation
Entertainment,
Inc.,
Convertible
337,000
2.000%, 
2/15/2025
343,223
424,000
3.125%, 
1/15/2029
f
439,688
Lowe's
Companies,
Inc.
219,000
4.500%, 
4/15/2030
204,351
Macy's
Retail
Holdings,
LLC
270,000
5.875%, 
4/1/2029
f,h
236,409
Marriott
International,
Inc./MD
83,000
4.900%, 
4/15/2029
79,136
146,000
4.625%, 
6/15/2030
134,489
Marriott
Vacations
Worldwide
Corporation,
Convertible
251,000
Zero
Coupon, 
1/15/2026
219,751
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Consumer
Cyclical
(3.5%)
-
continued
$
264,000
3.250%, 
12/15/2027
f
$
230,340
Mattamy
Group
Corporation
218,000
5.250%, 
12/15/2027
f
198,954
McDonald's
Corporation
94,000
4.950%, 
8/14/2033
89,665
Mercedes-Benz
Finance
North
America,
LLC
150,000
1.450%, 
3/2/2026
f
135,996
150,000
5.200%, 
8/3/2026
f
148,484
Michaels
Companies,
Inc.
189,000
5.250%, 
5/1/2028
f,h
150,841
NCL
Corporation,
Ltd.
105,000
3.625%, 
12/15/2024
f
100,833
78,000
5.875%, 
3/15/2026
f
72,013
154,000
5.875%, 
2/15/2027
f
146,449
Nordstrom,
Inc.
92,000
4.375%, 
4/1/2030
70,776
130,000
4.250%, 
8/1/2031
h
94,279
O'Reilly
Automotive,
Inc.
128,000
3.900%, 
6/1/2029
117,851
PENN
Entertainment,
Inc.
270,000
4.125%, 
7/1/2029
f
220,640
PetSmart,
Inc./PetSmart
Finance
Corporation
370,000
4.750%, 
2/15/2028
f
323,912
139,000
7.750%, 
2/15/2029
f
129,533
Prime
Security
Services
Borrower,
LLC/Prime
Finance,
Inc.
345,000
5.750%, 
4/15/2026
f
334,708
213,000
6.250%, 
1/15/2028
f
197,274
Realogy
Group,
LLC/Realogy
Group
Co-Issuer
Corporation
350,000
5.750%, 
1/15/2029
f
253,033
Royal
Caribbean
Cruises,
Ltd.
42,000
11.500%, 
6/1/2025
f
44,336
403,000
4.250%, 
7/1/2026
f
369,507
178,000
9.250%, 
1/15/2029
f
188,046
92,000
7.250%, 
1/15/2030
f
91,180
Scientific
Games
Holdings,
LP/
Scientific
Games
US
FinCo,
Inc.
33,000
6.625%, 
3/1/2030
f
28,463
SeaWorld
Parks
and
Entertainment,
Inc.
175,000
5.250%, 
8/15/2029
f
153,720
Six
Flags
Theme
Parks,
Inc.
96,000
7.000%, 
7/1/2025
f
95,757
Staples,
Inc.
224,000
7.500%, 
4/15/2026
f
184,205
136,000
10.750%, 
4/15/2027
f
79,839
Station
Casinos,
LLC
216,000
4.625%, 
12/1/2031
f
172,775
Tapestry,
Inc.
92,000
3.050%, 
3/15/2032
67,397
Target
Corporation
177,000
2.350%, 
2/15/2030
147,925
Tenneco,
Inc.
173,000
8.000%, 
11/17/2028
f
140,779
Toyota
Motor
Credit
Corporation
95,000
4.700%, 
1/12/2033
89,770
Tractor
Supply
Company
88,000
5.250%, 
5/15/2033
83,094
Tripadvisor,
Inc.
58,000
7.000%, 
7/15/2025
f
57,890
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
65
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Consumer
Cyclical
(3.5%)
-
continued
Uber
Technologies,
Inc.,
Convertible
$
426,000
Zero
Coupon, 
12/15/2025
$
397,422
Vail
Resorts,
Inc.,
Convertible
448,000
Zero
Coupon, 
1/1/2026
394,240
VICI
Properties,
LP/VICI
Note
Company,
Inc.
326,000
5.750%, 
2/1/2027
f
315,590
Viking
Cruises,
Ltd.
375,000
5.875%, 
9/15/2027
f
342,263
Volkswagen
Group
of
America
Finance,
LLC
200,000
4.250%, 
11/13/2023
f
199,580
56,000
3.350%, 
5/13/2025
f
53,664
Wabash
National
Corporation
298,000
4.500%, 
10/15/2028
f
251,024
Walmart,
Inc.
129,000
4.000%, 
4/15/2030
121,156
Wyndham
Hotels
&
Resorts,
Inc.
150,000
4.375%, 
8/15/2028
f
134,727
Yum!
Brands,
Inc.
272,000
4.750%, 
1/15/2030
f
244,316
ZF
North
America
Capital,
Inc.
150,000
7.125%, 
4/14/2030
f
146,967
Total
22,429,212
Consumer
Non-Cyclical
(2.9%)
1375209
B.C.,
Ltd.
192,000
9.000%, 
1/30/2028
f
189,787
Abbott
Laboratories
272,000
1.400%, 
6/30/2030
216,111
AbbVie,
Inc.
457,000
3.600%, 
5/14/2025
441,669
AdaptHealth,
LLC
139,000
4.625%, 
8/1/2029
f
106,683
Albertsons
Companies,
Inc./
Safeway,
Inc./New
Albertsons,
LP/Albertsons,
LLC
364,000
4.625%, 
1/15/2027
f
343,695
261,000
3.500%, 
3/15/2029
f
222,525
Amgen,
Inc.
128,000
5.150%, 
3/2/2028
125,887
219,000
5.250%, 
3/2/2030
213,960
Anheuser-Busch
InBev
Worldwide,
Inc.
183,000
4.000%, 
4/13/2028
173,171
195,000
4.750%, 
1/23/2029
189,065
Archer-Daniels-Midland
Company
88,000
4.500%, 
8/15/2033
81,798
AstraZeneca
Finance,
LLC
195,000
1.750%, 
5/28/2028
166,912
B&G
Foods,
Inc.
188,000
5.250%, 
4/1/2025
184,489
116,000
5.250%, 
9/15/2027
97,147
128,000
8.000%, 
9/15/2028
f
128,175
BAT
Capital
Corporation
97,000
6.343%, 
8/2/2030
95,543
93,000
7.750%, 
10/19/2032
98,235
Bausch
&
Lomb
Escrow
Corporation
48,000
8.375%, 
10/1/2028
f
48,143
Bausch
Health
Companies,
Inc.
109,000
5.500%, 
11/1/2025
f
96,531
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Consumer
Non-Cyclical
(2.9%)
-
continued
$
424,000
4.875%, 
6/1/2028
f
$
241,123
79,000
11.000%, 
9/30/2028
f
53,598
Becton,
Dickinson
and
Company
71,000
4.693%, 
2/13/2028
68,833
147,000
2.823%, 
5/20/2030
123,760
BellRing
Brands,
Inc.
162,000
7.000%, 
3/15/2030
f
159,515
BioMarin
Pharmaceutical,
Inc.,
Convertible
369,000
1.250%, 
5/15/2027
h
365,531
Bio-Rad
Laboratories,
Inc.
133,000
3.300%, 
3/15/2027
122,578
Cargill,
Inc.
172,000
2.125%, 
11/10/2031
f
133,955
Catalent
Pharma
Solutions,
Inc.
173,000
3.125%, 
2/15/2029
f,h
141,894
Central
Garden
&
Pet
Company
350,000
4.125%, 
10/15/2030
291,800
Cheplapharm
Arzneimittel
GmbH
40,000
5.500%, 
1/15/2028
f
36,293
Chobani,
LLC/Chobani
Finance
Corporation,
Inc.
285,000
4.625%, 
11/15/2028
f
251,364
CHS/Community
Health
Systems,
Inc.
191,000
5.625%, 
3/15/2027
f
163,823
59,000
8.000%, 
12/15/2027
f
55,017
251,000
6.000%, 
1/15/2029
f
202,703
107,000
5.250%, 
5/15/2030
f
81,339
111,000
4.750%, 
2/15/2031
f
78,557
Cigna
Group
126,000
2.400%, 
3/15/2030
103,460
Constellation
Brands,
Inc.
195,000
3.150%, 
8/1/2029
170,845
32,000
4.900%, 
5/1/2033
29,700
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US,
LLC
348,000
4.750%, 
1/15/2029
f
313,816
37,000
6.625%, 
7/15/2030
f
36,125
CVS
Health
Corporation
81,000
5.000%, 
2/20/2026
79,743
77,000
4.300%, 
3/25/2028
72,874
81,000
5.125%, 
2/21/2030
77,908
88,000
5.300%, 
6/1/2033
83,350
Diageo
Capital
plc
97,000
2.000%, 
4/29/2030
78,691
Edgewell
Personal
Care
Company
200,000
5.500%, 
6/1/2028
f
184,750
Eli
Lilly
&
Company
176,000
4.700%, 
2/27/2033
169,429
Embecta
Corporation
91,000
6.750%, 
2/15/2030
f
74,392
Encompass
Health
Corporation
346,000
4.500%, 
2/1/2028
315,246
Energizer
Holdings,
Inc.
335,000
4.375%, 
3/31/2029
f
279,574
Envista
Holdings
Corporation,
Convertible
56,000
1.750%, 
8/15/2028
51,576
Fortrea
Holdings,
Inc.
70,000
7.500%, 
7/1/2030
f
68,111
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
66
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Consumer
Non-Cyclical
(2.9%)
-
continued
General
Mills,
Inc.
$
35,000
4.950%, 
3/29/2033
$
32,794
Gilead
Sciences,
Inc.
89,000
5.250%, 
10/15/2033
86,811
Grifols
SA
243,000
4.750%, 
10/15/2028
f
207,184
HLF
Financing
SARL,
LLC/
Herbalife
International,
Inc.
366,000
4.875%, 
6/1/2029
f
259,860
Imperial
Brands
Finance
plc
105,000
3.125%, 
7/26/2024
f
102,323
Integer
Holdings
Corporation,
Convertible
377,000
2.125%, 
2/15/2028
f
409,611
Jazz
Investments
I,
Ltd.,
Convertible
446,000
2.000%, 
6/15/2026
454,084
Jazz
Securities
DAC
155,000
4.375%, 
1/15/2029
f
135,142
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
Luxembourg
SARL
82,000
6.750%, 
3/15/2034
f
79,785
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
USA
Finance,
Inc.
231,000
2.500%, 
1/15/2027
204,047
114,000
3.625%, 
1/15/2032
90,768
Kenvue,
Inc.
176,000
5.350%, 
3/22/2026
f
175,582
44,000
5.000%, 
3/22/2030
f
42,869
Keurig
Dr.
Pepper,
Inc.
107,000
3.200%, 
5/1/2030
92,274
Kraft
Heinz
Foods
Company
98,000
3.875%, 
5/15/2027
92,323
87,000
6.750%, 
3/15/2032
91,877
Kroger
Company
80,000
4.500%, 
1/15/2029
75,994
Lamb
Weston
Holdings,
Inc.
164,000
4.125%, 
1/31/2030
f
140,244
Legacy
LifePoint
Health,
LLC
104,000
4.375%, 
2/15/2027
f
89,440
LifePoint
Health,
Inc.
98,000
11.000%, 
10/15/2030
f
98,000
Mattel,
Inc.
272,000
3.375%, 
4/1/2026
f
251,518
McKesson
Corporation
111,000
0.900%, 
12/3/2025
100,280
95,000
1.300%, 
8/15/2026
84,538
Medtronic
Global
Holdings
SCA
86,000
4.500%, 
3/30/2033
80,114
ModivCare
Escrow
Issuer,
Inc.
87,000
5.000%, 
10/1/2029
f
62,423
ModivCare,
Inc.
69,000
5.875%, 
11/15/2025
f
65,589
Mozart
Debt
Merger
Sub,
Inc.
269,000
3.875%, 
4/1/2029
f
227,419
184,000
5.250%, 
10/1/2029
f,h
159,031
Mylan,
Inc.
73,000
4.200%, 
11/29/2023
72,771
Nestle
Holdings,
Inc.
171,000
4.950%, 
3/14/2030
f
167,984
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Consumer
Non-Cyclical
(2.9%)
-
continued
Newell
Brands,
Inc.
$
230,000
4.700%, 
4/1/2026
$
216,750
Organon
&
Company/Organon
Foreign
Debt
Co-Issuer
BV
264,000
4.125%, 
4/30/2028
f
229,392
144,000
5.125%, 
4/30/2031
f
115,395
Owens
&
Minor,
Inc.
234,000
6.625%, 
4/1/2030
f,h
207,695
Perrigo
Finance
Unlimited
Company
251,000
4.375%, 
3/15/2026
234,690
Pfizer
Investment
Enterprises
Pte,
Ltd.
119,000
4.450%, 
5/19/2026
116,252
88,000
4.750%, 
5/19/2033
83,184
Philip
Morris
International,
Inc.
255,000
4.875%, 
2/13/2026
250,814
168,000
4.875%, 
2/15/2028
162,754
93,000
5.625%, 
11/17/2029
91,945
93,000
5.750%, 
11/17/2032
90,742
Post
Holdings,
Inc.
229,000
4.500%, 
9/15/2031
f
190,595
Post
Holdings,
Inc.,
Convertible
241,000
2.500%, 
8/15/2027
238,952
Primo
Water
Holdings,
Inc.
237,000
4.375%, 
4/30/2029
f
202,635
Procter
&
Gamble
Company
81,000
1.200%, 
10/29/2030
62,696
RegionalCare
Hospital
Partners
Holdings,
Inc./LifePoint
Health,
Inc.
104,000
9.750%, 
12/1/2026
f
100,683
Roche
Holdings,
Inc.
93,000
1.930%, 
12/13/2028
f
79,410
136,000
2.076%, 
12/13/2031
f
107,315
Royalty
Pharma
plc
222,000
1.200%, 
9/2/2025
201,743
Scotts
Miracle-Gro
Company
97,000
4.500%, 
10/15/2029
79,300
SEG
Holding,
LLC
400,000
5.625%, 
10/15/2028
f
401,000
Simmons
Foods,
Inc.
200,000
4.625%, 
3/1/2029
f
164,065
Spectrum
Brands,
Inc.
240,000
5.000%, 
10/1/2029
f
217,464
150,000
5.500%, 
7/15/2030
f
136,005
Star
Parent,
Inc.
160,000
9.000%, 
10/1/2030
f
161,680
Stryker
Corporation
159,000
3.650%, 
3/7/2028
148,339
Sysco
Corporation
84,000
5.950%, 
4/1/2030
84,696
Takeda
Pharmaceutical
Company,
Ltd.
161,000
5.000%, 
11/26/2028
157,564
Tenet
Healthcare
Corporation
505,000
5.125%, 
11/1/2027
469,971
140,000
6.125%, 
10/1/2028
131,425
Teva
Pharmaceutical
Finance
Netherlands
III
BV
188,000
3.150%, 
10/1/2026
167,559
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
67
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Consumer
Non-Cyclical
(2.9%)
-
continued
Topgolf
Callaway
Brands
Corporation,
Convertible
$
91,000
2.750%, 
5/1/2026
$
94,412
TreeHouse
Foods,
Inc.
237,000
4.000%, 
9/1/2028
h
192,266
Unilever
Capital
Corporation
100,000
5.000%, 
12/8/2033
96,841
Winnebago
Industries,
Inc.,
Convertible
200,000
1.500%, 
4/1/2025
223,600
Wyeth,
LLC
215,000
6.500%, 
2/1/2034
231,229
Zoetis,
Inc.
131,000
5.600%, 
11/16/2032
130,402
Total
18,484,938
Energy
(2.7%)
Antero
Midstream
Partners,
LP/
Antero
Midstream
Finance
Corporation
62,000
5.375%, 
6/15/2029
f
56,766
Antero
Resources
Corporation
93,000
5.375%, 
3/1/2030
f
85,622
Archrock
Partners,
LP/Archrock
Partners
Finance
Corporation
340,000
6.250%, 
4/1/2028
f
316,548
Baytex
Energy
Corporation
174,000
8.500%, 
4/30/2030
f
176,058
BP
Capital
Markets
America,
Inc.
235,000
4.234%, 
11/6/2028
223,452
127,000
4.812%, 
2/13/2033
118,857
BP
Capital
Markets
plc
165,000
4.875%, 
3/22/2030
b,k
147,415
Buckeye
Partners,
LP
280,000
3.950%, 
12/1/2026
251,437
Callon
Petroleum
Company
125,000
7.500%, 
6/15/2030
f,h
121,197
Cheniere
Energy
Partners,
LP
97,000
4.500%, 
10/1/2029
87,831
97,000
3.250%, 
1/31/2032
77,095
114,000
5.950%, 
6/30/2033
f
109,950
Chesapeake
Energy
Corporation
132,000
6.750%, 
4/15/2029
f
129,176
Chord
Energy
Corporation
131,000
6.375%, 
6/1/2026
f
128,448
Civitas
Resources,
Inc.
79,000
8.375%, 
7/1/2028
f
80,382
109,000
8.750%, 
7/1/2031
f
111,340
CNX
Resources
Corporation
101,000
6.000%, 
1/15/2029
f
94,377
CNX
Resources
Corporation,
Convertible
328,000
2.250%, 
5/1/2026
593,024
Columbia
Pipelines
Holding
Company,
LLC
78,000
6.055%, 
8/15/2026
f
78,245
175,000
6.042%, 
8/15/2028
f
174,113
Comstock
Resources,
Inc.
183,000
5.875%, 
1/15/2030
f
158,410
CQP
Holdco,
LP/BIP-V
Chinnok
Holdco,
LLC
217,000
5.500%, 
6/15/2031
f
192,338
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Energy
(2.7%)
-
continued
Crescent
Energy
Finance,
LLC
$
191,000
9.250%, 
2/15/2028
f
$
195,001
CrownRock,
LP/CrownRock
Finance,
Inc.
157,000
5.625%, 
10/15/2025
f
154,480
Diamond
Foreign
Asset
Company/
Diamond
Finance,
LLC
64,000
8.500%, 
10/1/2030
f
64,009
Diamondback
Energy,
Inc.
224,000
3.125%, 
3/24/2031
186,588
DT
Midstream,
Inc.
130,000
4.125%, 
6/15/2029
f
112,455
90,000
4.375%, 
6/15/2031
f
75,682
Enbridge,
Inc.
190,000
7.375%, 
1/15/2083
b
180,684
182,000
7.625%, 
1/15/2083
b
173,784
98,000
3.700%, 
7/15/2027
91,104
44,000
5.700%, 
3/8/2033
42,152
Enerflex,
Ltd.
155,000
9.000%, 
10/15/2027
f
153,062
Energy
Transfer,
LP
210,000
6.500%, 
11/15/2026
b,k
192,959
147,000
3.750%, 
5/15/2030
128,051
EnLink
Midstream
Partners,
LP
263,000
4.850%, 
7/15/2026
247,603
Enterprise
Products
Operating,
LLC
97,000
4.150%, 
10/16/2028
90,941
215,000
8.619%, 
(TSFR3M
+
3.248%),
8/16/2077
b
212,386
EQM
Midstream
Partners,
LP
480,000
4.750%, 
1/15/2031
f
413,155
EQT
Corporation,
Convertible
182,000
1.750%, 
5/1/2026
505,159
Ferrellgas,
LP/Ferrellgas
Finance
Corporation
196,000
5.375%, 
4/1/2026
f
183,710
Genesis
Energy
LP/Genesis
Energy
Finance
Corporation
256,000
8.875%, 
4/15/2030
249,956
Harvest
Midstream,
LP
326,000
7.500%, 
9/1/2028
f
315,122
Hess
Midstream
Operations,
LP
156,000
5.625%, 
2/15/2026
f
150,735
Hilcorp
Energy
I,
LP/Hilcorp
Finance
Company
300,000
5.750%, 
2/1/2029
f
270,898
149,000
6.250%, 
4/15/2032
f
132,483
Howard
Midstream
Energy
Partners,
LLC
289,000
6.750%, 
1/15/2027
f
274,550
ITT
Holdings,
LLC
265,000
6.500%, 
8/1/2029
f
224,620
Laredo
Petroleum,
Inc.
299,000
7.750%, 
7/31/2029
f
278,167
Marathon
Oil
Corporation
98,000
4.400%, 
7/15/2027
92,177
MEG
Energy
Corporation
227,000
5.875%, 
2/1/2029
f
211,990
MPLX,
LP
243,000
1.750%, 
3/1/2026
220,340
43,000
5.000%, 
3/1/2033
39,183
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
68
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Energy
(2.7%)
-
continued
Murphy
Oil
Corporation
$
195,000
5.875%, 
12/1/2027
$
189,229
Nabors
Industries,
Ltd.
350,000
7.250%, 
1/15/2026
f
338,187
National
Fuel
Gas
Company
195,000
5.500%, 
1/15/2026
191,776
New
Fortress
Energy,
Inc.
120,000
6.750%, 
9/15/2025
f
114,553
Noble
Finance
II,
LLC
193,000
8.000%, 
4/15/2030
f
195,524
Northern
Oil
and
Gas,
Inc.
174,000
8.750%, 
6/15/2031
f
175,305
Northern
Oil
and
Gas,
Inc.,
Convertible
264,000
3.625%, 
4/15/2029
f
326,117
Northriver
Midstream
Finance,
LP
95,000
5.625%, 
2/15/2026
f
90,530
NuStar
Logistics,
LP
141,000
5.750%, 
10/1/2025
137,123
Occidental
Petroleum
Corporation
137,000
6.375%, 
9/1/2028
138,022
ONEOK,
Inc.
146,000
2.200%, 
9/15/2025
135,855
83,000
5.550%, 
11/1/2026
82,459
87,000
5.650%, 
11/1/2028
85,873
Ovintiv,
Inc.
54,000
5.650%, 
5/15/2025
53,691
38,000
5.650%, 
5/15/2028
37,169
89,000
6.250%, 
7/15/2033
86,055
PBF
Holding
Company,
LLC/PBF
Finance
Corporation
127,000
6.000%, 
2/15/2028
119,783
Permian
Resources
Operating,
LLC
144,000
7.000%, 
1/15/2032
f
142,015
Permian
Resources
Operating,
LLC,
Convertible
101,000
3.250%, 
4/1/2028
238,421
Phillips
66
Company
130,000
4.950%, 
12/1/2027
127,396
Pioneer
Natural
Resources
Company
120,000
1.900%, 
8/15/2030
94,146
Pioneer
Natural
Resources
Company,
Convertible
186,000
0.250%, 
5/15/2025
455,588
Plains
All
American
Pipeline,
LP
110,000
9.736%, 
(TSFR3M
+
4.372%),
11/2/2023
b,h,k
103,802
Plains
All
American
Pipeline,
LP/
PAA
Finance
Corporation
206,000
4.650%, 
10/15/2025
200,013
Precision
Drilling
Corporation
230,000
6.875%, 
1/15/2029
f
217,856
Range
Resources
Corporation
140,000
4.750%, 
2/15/2030
f
124,250
Rockcliff
Energy
II,
LLC
185,000
5.500%, 
10/15/2029
f
166,494
Rockies
Express
Pipeline,
LLC
48,000
4.950%, 
7/15/2029
f
42,753
Schlumberger
Holdings
Corporation
61,000
4.300%, 
5/1/2029
f
57,202
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Energy
(2.7%)
-
continued
SM
Energy
Company
$
61,000
6.625%, 
1/15/2027
$
59,780
135,000
6.500%, 
7/15/2028
129,600
Southwestern
Energy
Company
135,000
5.375%, 
3/15/2030
122,992
135,000
4.750%, 
2/1/2032
115,869
Suburban
Propane
Partners,
LP/
Suburban
Energy
Finance
Corporation
86,000
5.875%, 
3/1/2027
82,130
Suncor
Energy,
Inc.
87,000
7.150%, 
2/1/2032
91,517
Sunoco,
LP/Sunoco
Finance
Corporation
305,000
5.875%, 
3/15/2028
292,591
Tallgrass
Energy
Partners
LP/
Tallgrass
Energy
Finance
Corporation
317,000
5.500%, 
1/15/2028
f
288,470
Targa
Resources
Partners,
LP
233,000
4.875%, 
2/1/2031
208,686
Teine
Energy,
Ltd.
190,000
6.875%, 
4/15/2029
f
174,325
TransCanada
Trust
313,000
5.875%, 
8/15/2076
b
285,388
Transocean,
Inc.
180,000
11.500%, 
1/30/2027
f
188,775
68,400
8.750%, 
2/15/2030
f
69,939
USA
Compression
Partners,
LP/
USA
Compression
Finance
Corporation
264,000
6.875%, 
4/1/2026
258,599
Valaris,
Ltd.
172,000
8.375%, 
4/30/2030
f
172,129
Venture
Global
Calcasieu
Pass,
LLC
273,000
3.875%, 
8/15/2029
f
229,724
65,000
6.250%, 
1/15/2030
f
62,002
160,000
4.125%, 
8/15/2031
f
131,299
Venture
Global
LNG,
Inc.
355,000
8.375%, 
6/1/2031
f
348,987
Weatherford
International,
Ltd.
297,000
8.625%, 
4/30/2030
f
299,274
Williams
Companies,
Inc.
98,000
2.600%, 
3/15/2031
78,053
Total
17,532,583
Financials
(7.8%)
Acrisure,
LLC/Acrisure
Finance,
Inc.
55,000
6.000%, 
8/1/2029
f
46,219
AerCap
Holdings
NV
220,000
5.875%, 
10/10/2079
b
213,944
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
90,000
3.150%, 
2/15/2024
88,973
150,000
6.500%, 
7/15/2025
150,173
150,000
5.750%, 
6/6/2028
146,545
254,000
3.000%, 
10/29/2028
217,799
Air
Lease
Corporation
114,000
2.300%, 
2/1/2025
107,986
180,000
4.650%, 
6/15/2026
b,k
158,515
98,000
3.125%, 
12/1/2030
79,798
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
69
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Financials
(7.8%)
-
continued
Aircastle,
Ltd.
$
205,000
5.250%, 
6/15/2026
b,f,k
$
161,201
98,000
2.850%, 
1/26/2028
f
83,151
Alliant
Holdings
Intermediate,
LLC/
Alliant
Holdings
Co-Issuer,
Inc.
148,000
6.750%, 
10/15/2027
f
137,642
Ally
Financial,
Inc.
145,000
5.750%, 
11/20/2025
h
140,847
390,000
4.700%, 
5/15/2026
b,k
267,634
98,000
8.000%, 
11/1/2031
h
98,944
50,000
6.700%, 
2/14/2033
43,405
American
Express
Company
127,000
3.950%, 
8/1/2025
122,856
190,000
3.550%, 
9/15/2026
b,k
150,858
222,000
2.550%, 
3/4/2027
200,159
American
Homes
4
Rent,
LP
97,000
2.375%, 
7/15/2031
73,956
American
International
Group,
Inc.
176,000
5.125%, 
3/27/2033
163,761
AmWINS
Group,
Inc.
180,000
4.875%, 
6/30/2029
f
157,721
Arbor
Realty
Trust,
Inc.,
Convertible
151,000
7.500%, 
8/1/2025
f
151,849
Ares
Capital
Corporation
57,000
4.250%, 
3/1/2025
54,816
191,000
2.150%, 
7/15/2026
167,575
Ares
Capital
Corporation,
Convertible
200,000
4.625%, 
3/1/2024
202,875
Assurant,
Inc.
128,000
6.100%, 
2/27/2026
127,354
Australia
&
New
Zealand
Banking
Group,
Ltd.
216,000
2.950%, 
7/22/2030
b,f
200,511
Aviation
Capital
Group,
LLC
96,000
4.875%, 
10/1/2025
f
92,240
Avolon
Holdings
Funding,
Ltd.
195,000
4.250%, 
4/15/2026
f
183,280
BAC
Capital
Trust
XIV
248,000
6.071%, 
(TSFR3M
+
0.662%),
10/18/2023
b,k
191,704
Banco
Santander
Mexico
SA
67,000
5.375%, 
4/17/2025
f
65,851
Banco
Santander
SA
82,000
4.750%, 
11/12/2026
b,k
60,832
Bank
of
America
Corporation
244,000
4.200%, 
8/26/2024
239,728
475,000
6.250%, 
9/5/2024
b,h,k
467,321
113,000
3.458%, 
3/15/2025
b
111,491
240,000
6.100%, 
3/17/2025
b,k
235,017
279,000
1.319%, 
6/19/2026
b
255,864
225,000
6.125%, 
4/27/2027
b,k
215,578
145,000
1.734%, 
7/22/2027
b
128,493
186,000
4.376%, 
4/27/2028
b
175,631
294,000
3.593%, 
7/21/2028
b
268,485
127,000
4.948%, 
7/22/2028
b
122,030
145,000
5.819%, 
9/15/2029
b
143,220
392,000
3.974%, 
2/7/2030
b
352,054
328,000
2.687%, 
4/22/2032
b
257,789
144,000
2.572%, 
10/20/2032
b
110,649
179,000
2.972%, 
2/4/2033
b
141,151
92,000
3.846%, 
3/8/2037
b
74,829
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Financials
(7.8%)
-
continued
Bank
of
Montreal
$
80,000
5.920%, 
9/25/2025
$
79,824
130,000
5.203%, 
2/1/2028
126,891
92,000
3.088%, 
1/10/2037
b
68,556
Bank
of
New
York
Mellon
Corporation
127,000
4.596%, 
7/26/2030
b
119,540
Bank
of
Nova
Scotia
140,000
5.250%, 
12/6/2024
138,712
110,000
4.900%, 
6/4/2025
b,k
100,608
98,000
1.050%, 
3/2/2026
87,467
Barclays
plc
111,000
4.375%, 
9/11/2024
108,762
134,000
2.852%, 
5/7/2026
b
126,409
85,000
5.501%, 
8/9/2028
b
81,675
145,000
4.972%, 
5/16/2029
b
135,456
110,000
6.224%, 
5/9/2034
b
104,202
88,000
7.119%, 
6/27/2034
b
84,756
Berkshire
Hathaway
Finance
Corporation
279,000
2.875%, 
3/15/2032
233,983
Blackstone
Mortgage
Trust,
Inc.,
Convertible
76,000
5.500%, 
3/15/2027
67,592
Blue
Owl
Capital
Corporation
97,000
4.250%, 
1/15/2026
90,747
Blue
Owl
Credit
Income
Corporation
136,000
4.700%, 
2/8/2027
123,756
Blue
Owl
Technology
Finance
Corporation
48,000
4.750%, 
12/15/2025
f
44,398
147,000
3.750%, 
6/17/2026
f
130,458
BNP
Paribas
SA
141,000
2.819%, 
11/19/2025
b,f
135,421
122,000
3.132%, 
1/20/2033
b,f
95,854
BPCE
SA
114,000
2.375%, 
1/14/2025
f
108,023
Bread
Financial
Holdings,
Inc.,
Convertible
75,000
4.250%, 
6/15/2028
f
80,857
Brixmor
Operating
Partnership,
LP
159,000
2.250%, 
4/1/2028
133,891
Brookfield
Property
REIT,
Inc./BPR
Cumulus,
LLC/BPR
Nimbus,
LLC/GGSI
Sellco,
LLC
55,000
4.500%, 
4/1/2027
f
45,835
Burford
Capital
Global
Finance,
LLC
200,000
9.250%, 
7/1/2031
f
202,896
Canadian
Imperial
Bank
of
Commerce
127,000
3.945%, 
8/4/2025
122,612
80,000
5.926%, 
10/2/2026
e
79,981
Capital
One
Financial
Corporation
110,000
3.950%, 
9/1/2026
b,k
82,565
135,000
3.273%, 
3/1/2030
b
112,927
Capital
One
NA
171,000
2.280%, 
1/28/2026
b,h
161,491
Castlelake
Aviation
Finance
DAC
84,000
5.000%, 
4/15/2027
f
76,722
Centene
Corporation
361,000
3.000%, 
10/15/2030
291,186
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
70
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Financials
(7.8%)
-
continued
Charles
Schwab
Corporation
$
440,000
5.375%, 
6/1/2025
b,k
$
422,720
169,000
0.900%, 
3/11/2026
149,808
340,000
4.000%, 
6/1/2026
b,k
283,970
84,000
5.875%, 
8/24/2026
83,723
126,000
2.000%, 
3/20/2028
106,325
87,000
6.136%, 
8/24/2034
b
84,630
Citigroup,
Inc.
195,000
9.699%, 
(TSFR3M
+
4.330%),
10/30/2023
b,k
194,628
101,000
5.000%, 
9/12/2024
b,k
95,513
141,000
3.352%, 
4/24/2025
b
138,485
274,000
5.500%, 
9/13/2025
270,692
360,000
3.875%, 
2/18/2026
b,k
307,203
125,000
4.150%, 
11/15/2026
b,k
100,048
338,000
1.122%, 
1/28/2027
b
301,198
194,000
1.462%, 
6/9/2027
b
171,483
172,000
3.070%, 
2/24/2028
b
156,021
90,000
7.375%, 
5/15/2028
b,h,k
87,329
175,000
7.625%, 
11/15/2028
b,k
170,730
391,000
4.075%, 
4/23/2029
b
359,853
87,000
6.174%, 
5/25/2034
b
83,139
Citizens
Financial
Group,
Inc.
205,000
4.000%, 
10/6/2026
b,k
151,933
CNA
Financial
Corporation
126,000
3.950%, 
5/15/2024
124,350
Coinbase
Global,
Inc.,
Convertible
574,000
0.500%, 
6/1/2026
430,844
Comerica,
Inc.
120,000
5.625%, 
7/1/2025
b,h,k
109,953
Commonwealth
Bank
of
Australia
117,000
2.688%, 
3/11/2031
f
89,018
Cooperatieve
Rabobank
UA
111,000
1.339%, 
6/24/2026
b,f
102,139
Corebridge
Financial,
Inc.
136,000
6.875%, 
12/15/2052
b
130,287
87,000
6.050%, 
9/15/2033
f
84,556
Corporate
Office
Properties,
LP
192,000
2.250%, 
3/15/2026
172,858
Corporate
Office
Properties,
LP,
Convertible
49,000
5.250%, 
9/15/2028
f
49,073
Credit
Acceptance
Corporation
310,000
5.125%, 
12/31/2024
f
301,932
Credit
Agricole
SA
196,000
8.125%, 
12/23/2025
b,f,k
194,577
98,000
3.250%, 
1/14/2030
f
81,790
Credit
Suisse
Group
AG
110,000
7.500%, 
12/11/2023
*,b,k,l
10,450
110,000
7.250%, 
9/12/2025
b,f,k,l
10,450
Dai-ichi
Life
Insurance
Company,
Ltd.
243,000
5.100%, 
10/28/2024
b,f,k
238,245
Deutsche
Bank
AG/New
York,
NY
332,000
2.129%, 
11/24/2026
b
300,244
150,000
2.311%, 
11/16/2027
b
130,618
136,000
3.742%, 
1/7/2033
b
97,593
Discover
Bank
196,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
b
179,346
Discover
Financial
Services
46,000
6.700%, 
11/29/2032
44,465
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Financials
(7.8%)
-
continued
Drawbridge
Special
Opportunities
Fund,
LP
$
410,000
3.875%, 
2/15/2026
f
$
364,783
Elevance
Health,
Inc.
133,000
5.350%, 
10/15/2025
132,161
257,000
2.550%, 
3/15/2031
208,265
Enact
Holdings,
Inc.
149,000
6.500%, 
8/15/2025
f
146,751
Encore
Capital
Group,
Inc.,
Convertible
182,000
4.000%, 
3/15/2029
f
174,343
Extra
Space
Storage,
LP
96,000
2.400%, 
10/15/2031
73,495
Fifth
Third
Bancorp
240,000
4.500%, 
9/30/2025
b,k
214,939
86,000
4.772%, 
7/28/2030
b
78,071
Fifth
Third
Bank
NA
237,000
3.850%, 
3/15/2026
219,216
First
Horizon
Bank
146,000
5.750%, 
5/1/2030
h
130,681
First-Citizens
Bank
&
Trust
Company
194,000
6.125%, 
3/9/2028
192,691
Five
Corners
Funding
Trust
III
100,000
5.791%, 
2/15/2033
f
98,107
Fortress
Transportation
and
Infrastructure
Investors,
LLC
219,000
6.500%, 
10/1/2025
f
215,243
98,000
9.750%, 
8/1/2027
f
101,365
15,000
5.500%, 
5/1/2028
f
13,599
Freedom
Mortgage
Corporation
64,000
12.000%, 
10/1/2028
f
65,078
FS
KKR
Capital
Corporation
96,000
3.400%, 
1/15/2026
87,973
97,000
2.625%, 
1/15/2027
83,065
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership,
LP
301,000
3.750%, 
12/15/2027
f
233,048
Goldman
Sachs
Group,
Inc.
183,000
5.500%, 
8/10/2024
b,k
178,375
111,000
3.500%, 
4/1/2025
106,879
167,000
4.250%, 
10/21/2025
160,932
166,000
0.855%, 
2/12/2026
b
153,836
124,000
3.650%, 
8/10/2026
b,k
99,954
188,000
4.125%, 
11/10/2026
b,k
153,770
173,000
1.948%, 
10/21/2027
b
152,751
92,000
2.640%, 
2/24/2028
b
82,037
185,000
4.482%, 
8/23/2028
b
175,105
196,000
3.814%, 
4/23/2029
b
177,975
98,000
3.800%, 
3/15/2030
86,476
98,000
2.615%, 
4/22/2032
b
76,546
97,000
2.383%, 
7/21/2032
b
73,874
Hartford
Financial
Services
Group,
Inc.
98,000
2.800%, 
8/19/2029
84,063
HAT
Holdings
I,
LLC/HAT
Holdings
II,
LLC,
Convertible
20,000
Zero
Coupon, 
5/1/2025
f
19,300
150,000
3.750%, 
8/15/2028
f
145,781
HSBC
Holdings
plc
109,000
3.803%, 
3/11/2025
b
107,656
110,000
6.375%, 
3/30/2025
b,k
105,667
141,000
2.633%, 
11/7/2025
b
135,106
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
71
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Financials
(7.8%)
-
continued
$
133,000
1.589%, 
5/24/2027
b
$
117,273
200,000
2.251%, 
11/22/2027
b
176,544
273,000
4.583%, 
6/19/2029
b
252,399
35,000
4.600%, 
12/17/2030
b,k
26,449
117,000
2.804%, 
5/24/2032
b
90,622
HUB
International,
Ltd.
293,000
5.625%, 
12/1/2029
f
255,132
Huntington
Bancshares,
Inc.
260,000
4.450%, 
10/15/2027
b,k
210,307
Icahn
Enterprises,
LP/Icahn
Enterprises
Finance
Corporation
162,000
6.375%, 
12/15/2025
154,105
179,000
5.250%, 
5/15/2027
157,337
ING
Groep
NV
200,000
1.726%, 
4/1/2027
b
178,938
100,000
6.083%, 
9/11/2027
b
99,556
Intercontinental
Exchange,
Inc.
137,000
4.350%, 
6/15/2029
128,871
Invitation
Homes
Operating
Partnership,
LP
145,000
2.000%, 
8/15/2031
107,306
J.P.
Morgan
Chase
&
Company
75,000
8.934%, 
(TSFR3M
+
3.562%),
11/1/2023
b,k
75,254
347,000
5.000%, 
8/1/2024
b,k
335,400
136,000
4.600%, 
2/1/2025
b,k
127,227
111,000
2.083%, 
4/22/2026
b
104,185
190,000
3.650%, 
6/1/2026
b,k
165,839
277,000
1.045%, 
11/19/2026
b
248,942
195,000
1.578%, 
4/22/2027
b
174,024
178,000
2.947%, 
2/24/2028
b
161,473
294,000
4.005%, 
4/23/2029
b
270,942
97,000
2.069%, 
6/1/2029
b
81,733
392,000
4.493%, 
3/24/2031
b
358,924
92,000
2.963%, 
1/25/2033
b
73,244
83,000
4.912%, 
7/25/2033
b
76,364
94,000
5.717%, 
9/14/2033
b
90,360
83,000
5.350%, 
6/1/2034
b
78,707
Jefferies
Finance,
LLC/JFIN
Co-
Issuer
Corporation
78,000
5.000%, 
8/15/2028
f
65,676
KeyBank
NA/Cleveland,
OH
147,000
3.900%, 
4/13/2029
119,159
166,000
5.000%, 
1/26/2033
139,733
Kilroy
Realty,
LP
127,000
4.250%, 
8/15/2029
108,803
Lincoln
National
Corporation
235,000
7.996%, 
(LIBOR
3M
+
2.358%),
11/17/2023
b
163,487
Lloyds
Banking
Group
plc
310,000
1.627%, 
5/11/2027
b
274,948
M&T
Bank
Corporation
360,000
3.500%, 
9/1/2026
b,k
253,166
Macquarie
Group,
Ltd.
195,000
1.629%, 
9/23/2027
b,f
170,352
Manufacturers
&
Traders
Trust
Company
177,000
4.700%, 
1/27/2028
163,469
Marsh
&
McLennan
Companies,
Inc.
88,000
2.375%, 
12/15/2031
69,193
MetLife,
Inc.
240,000
3.850%, 
9/15/2025
b,k
222,021
130,000
5.875%, 
3/15/2028
b,k
122,105
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Financials
(7.8%)
-
continued
$
182,000
6.400%, 
12/15/2036
$
177,836
Metropolitan
Life
Global
Funding
I
159,000
2.950%, 
4/9/2030
f
134,738
Mid-America
Apartments,
LP
196,000
4.200%, 
6/15/2028
184,143
Mitsubishi
UFJ
Financial
Group,
Inc.
134,000
1.412%, 
7/17/2025
123,618
200,000
1.538%, 
7/20/2027
b
177,146
Mizuho
Financial
Group,
Inc.
200,000
1.554%, 
7/9/2027
b
176,842
200,000
2.564%, 
9/13/2031
151,365
88,000
5.748%, 
7/6/2034
b
84,002
Molina
Healthcare,
Inc.
200,000
4.375%, 
6/15/2028
f
179,210
Morgan
Stanley
111,000
5.816%, 
(SOFRRATE
+
0.466%),
11/10/2023
b
111,001
114,000
2.720%, 
7/22/2025
b
110,635
192,000
1.164%, 
10/21/2025
b
181,242
78,000
5.000%, 
11/24/2025
76,451
226,000
2.188%, 
4/28/2026
b
212,303
148,000
6.138%, 
10/16/2026
b
148,141
196,000
1.593%, 
5/4/2027
b
174,456
193,000
1.512%, 
7/20/2027
b
170,533
65,000
5.123%, 
2/1/2029
b
62,596
294,000
3.622%, 
4/1/2031
b
253,273
92,000
2.943%, 
1/21/2033
b
72,451
85,000
4.889%, 
7/20/2033
b
77,233
88,000
5.250%, 
4/21/2034
b
81,706
102,000
5.424%, 
7/21/2034
b
96,216
185,000
2.484%, 
9/16/2036
b
134,382
MPT
Operating
Partnership,
LP/
MPT
Finance
Corporation
145,000
5.250%, 
8/1/2026
h
123,495
2,000
4.625%, 
8/1/2029
1,417
Nasdaq,
Inc.
80,000
5.350%, 
6/28/2028
78,538
Nationstar
Mortgage
Holdings,
Inc.
198,000
6.000%, 
1/15/2027
f
187,095
NatWest
Group
plc
135,000
4.269%, 
3/22/2025
b
133,554
98,000
4.892%, 
5/18/2029
b
91,659
146,000
3.754%, 
11/1/2029
b
139,013
Necessity
Retail
REIT,
Inc./
American
Finance
Operating
Partner,
LP
221,000
4.500%, 
9/30/2028
f
167,867
New
York
Life
Global
Funding
83,000
4.550%, 
1/28/2033
f
76,091
NFP
Corporation
104,000
6.875%, 
8/15/2028
f
89,095
Nippon
Life
Insurance
Company
480,000
5.100%, 
10/16/2044
b,f
471,001
NNN
REIT,
Inc.
98,000
2.500%, 
4/15/2030
79,198
Nomura
Holdings,
Inc.
145,000
2.172%, 
7/14/2028
120,308
Northern
Trust
Corporation
138,000
4.000%, 
5/10/2027
130,538
Office
Properties
Income
Trust
84,000
2.650%, 
6/15/2026
57,143
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
72
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Financials
(7.8%)
-
continued
Omega
Healthcare
Investors,
Inc.
$
95,000
4.750%, 
1/15/2028
$
87,918
98,000
3.375%, 
2/1/2031
76,616
OneMain
Finance
Corporation
549,000
6.875%, 
3/15/2025
544,648
70,000
3.875%, 
9/15/2028
56,185
Park
Intermediate
Holdings,
LLC
309,000
4.875%, 
5/15/2029
f
261,399
Pebblebrook
Hotel
Trust,
Convertible
624,000
1.750%, 
12/15/2026
517,546
Pine
Street
Trust
I
98,000
4.572%, 
2/15/2029
f
88,183
PNC
Bank
NA
98,000
2.700%, 
10/22/2029
79,728
PNC
Financial
Services
Group,
Inc.
179,000
5.671%, 
10/28/2025
b
177,618
180,000
3.400%, 
9/15/2026
b,k
133,159
181,000
6.200%, 
9/15/2027
b,h,k
166,340
77,000
5.582%, 
6/12/2029
b
74,699
180,000
6.250%, 
3/15/2030
b,k
154,299
PRA
Group,
Inc.
155,000
7.375%, 
9/1/2025
f
150,932
128,000
8.375%, 
2/1/2028
f
116,480
Principal
Life
Global
Funding
II
146,000
1.250%, 
8/16/2026
f
127,777
Prologis,
LP
66,000
3.375%, 
12/15/2027
60,684
Provident
Financing
Trust
I
112,000
7.405%, 
3/15/2038
110,464
Prudential
Financial,
Inc.
90,000
5.125%, 
3/1/2052
b
77,503
138,000
6.750%, 
3/1/2053
b
133,432
414,000
5.200%, 
3/15/2044
b,h
405,049
120,000
3.700%, 
10/1/2050
b
97,594
Public
Storage
Operating
Company
93,000
5.100%, 
8/1/2033
88,900
QBE
Insurance
Group,
Ltd.
100,000
5.875%, 
5/12/2025
b,f,k
95,055
Radian
Group,
Inc.
185,000
4.875%, 
3/15/2027
172,859
Realty
Income
Corporation
96,000
4.875%, 
6/1/2026
94,210
112,000
3.950%, 
8/15/2027
105,012
112,000
5.625%, 
10/13/2032
108,277
Redwood
Trust,
Inc.,
Convertible
27,000
7.750%, 
6/15/2027
24,148
Regions
Financial
Corporation
85,000
2.250%, 
5/18/2025
79,292
145,000
5.750%, 
6/15/2025
b,h,k
137,574
Reinsurance
Group
of
America,
Inc.
87,000
6.000%, 
9/15/2033
83,942
RLJ
Lodging
Trust,
LP
97,000
3.750%, 
7/1/2026
f
87,726
217,000
4.000%, 
9/15/2029
f
177,710
Rocket
Mortgage,
LLC/Rocket
Mortgage
Co-Issuer,
Inc.
240,000
3.625%, 
3/1/2029
f
198,416
Royal
Bank
of
Canada
69,000
0.750%, 
10/7/2024
65,459
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Financials
(7.8%)
-
continued
$
237,000
5.000%, 
2/1/2033
$
220,826
Santander
Holdings
USA,
Inc.
196,000
3.450%, 
6/2/2025
186,415
90,000
2.490%, 
1/6/2028
b
78,145
87,000
6.499%, 
3/9/2029
b
84,848
Santander
UK
Group
Holdings
plc
200,000
1.673%, 
6/14/2027
b
174,940
Service
Properties
Trust
109,000
4.650%, 
3/15/2024
107,514
62,000
4.350%, 
10/1/2024
59,477
111,000
7.500%, 
9/15/2025
109,050
200,000
5.500%, 
12/15/2027
170,927
Simon
Property
Group,
LP
159,000
2.650%, 
7/15/2030
130,800
SLM
Corporation
100,000
4.200%, 
10/29/2025
93,571
Societe
Generale
SA
141,000
2.625%, 
10/16/2024
f
135,517
133,000
1.488%, 
12/14/2026
b,f
118,738
Spirit
Realty,
LP
163,000
3.200%, 
1/15/2027
147,665
Standard
Chartered
plc
133,000
0.991%, 
1/12/2025
b,f
130,799
105,000
6.000%, 
7/26/2025
b,f,h,k
99,718
131,000
2.608%, 
1/12/2028
b,f
115,966
Starwood
Property
Trust,
Inc.,
Convertible
241,000
6.750%, 
7/15/2027
246,904
State
Street
Corporation
78,000
5.272%, 
8/3/2026
77,267
91,000
4.421%, 
5/13/2033
b
81,638
Sumitomo
Life
Insurance
Company
265,000
3.375%, 
4/15/2081
b,f
220,237
Sumitomo
Mitsui
Financial
Group,
Inc.
141,000
2.448%, 
9/27/2024
136,175
131,000
2.174%, 
1/14/2027
116,515
200,000
5.716%, 
9/14/2028
197,388
147,000
2.142%, 
9/23/2030
113,495
132,000
5.766%, 
1/13/2033
129,006
Sumitomo
Mitsui
Trust
Bank,
Ltd.
111,000
1.050%, 
9/12/2025
f
101,110
Summit
Hotel
Properties,
Inc.,
Convertible
203,000
1.500%, 
2/15/2026
170,520
Synchrony
Financial
115,000
4.250%, 
8/15/2024
112,309
49,000
7.250%, 
2/2/2033
43,248
Synovus
Bank
87,000
5.625%, 
2/15/2028
78,828
Toronto-Dominion
Bank
125,000
8.125%, 
10/31/2082
b
124,357
87,000
5.156%, 
1/10/2028
84,911
124,000
5.523%, 
7/17/2028
122,393
91,000
4.456%, 
6/8/2032
81,605
Truist
Bank
99,000
2.250%, 
3/11/2030
75,781
Truist
Financial
Corporation
160,000
6.047%, 
6/8/2027
b
158,260
80,000
1.887%, 
6/7/2029
b
65,696
315,000
5.100%, 
3/1/2030
b,k
269,313
U.S.
Bancorp
136,000
5.727%, 
10/21/2026
b
134,869
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
73
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Financials
(7.8%)
-
continued
$
127,000
4.548%, 
7/22/2028
b
$
119,292
42,000
5.836%, 
6/12/2034
b
39,612
UBS
Group
AG
117,000
2.593%, 
9/11/2025
b,f
112,610
169,000
2.193%, 
6/5/2026
b,f
157,180
200,000
4.875%, 
2/12/2027
b,f,k
167,443
200,000
6.327%, 
12/22/2027
b,f
199,679
191,000
3.869%, 
1/12/2029
b,f
173,005
UDR,
Inc.
193,000
3.000%, 
8/15/2031
h
156,739
United
Wholesale
Mortgage,
LLC
61,000
5.500%, 
11/15/2025
f
58,022
156,000
5.500%, 
4/15/2029
f
131,820
UnitedHealth
Group,
Inc.
184,000
5.250%, 
2/15/2028
184,313
185,000
4.200%, 
5/15/2032
168,853
USB
Realty
Corporation
146,000
6.717%, 
(TSFR3M
+
1.409%),
1/15/2027
b,f,k
106,202
USI,
Inc./NY
78,000
6.875%, 
5/1/2025
f
77,399
Ventas
Realty,
LP
110,000
3.750%, 
5/1/2024
108,468
Ventas
Realty,
LP,
Convertible
342,000
3.750%, 
6/1/2026
f
333,279
Wells
Fargo
&
Company
233,000
2.406%, 
10/30/2025
b
223,285
335,000
3.900%, 
3/15/2026
b,k
292,572
169,000
2.188%, 
4/30/2026
b
158,680
220,000
6.070%, 
(TSFR3M
+
0.762%),
1/15/2027
b
208,530
89,000
3.526%, 
3/24/2028
b
81,735
196,000
3.584%, 
5/22/2028
b
179,437
127,000
4.808%, 
7/25/2028
b
121,192
180,000
7.625%, 
9/15/2028
b,k
181,470
196,000
4.478%, 
4/4/2031
b
177,820
62,000
5.389%, 
4/24/2034
b
57,964
88,000
5.557%, 
7/25/2034
b
83,326
Welltower
OP,
LLC
97,000
2.050%, 
1/15/2029
80,177
112,000
2.800%, 
6/1/2031
89,627
Welltower
OP,
LLC,
Convertible
509,000
2.750%, 
5/15/2028
f
519,453
Westpac
Banking
Corporation
147,000
4.110%, 
7/24/2034
b
126,950
Willis
North
America,
Inc.
196,000
4.500%, 
9/15/2028
183,804
XHR,
LP
97,000
6.375%, 
8/15/2025
f,h
95,234
109,000
4.875%, 
6/1/2029
f
92,650
Total
50,424,029
Foreign
Government
(<0.1%)
NBN
Company,
Ltd.
171,000
2.625%, 
5/5/2031
f
137,818
Total
137,818
Mortgage-Backed
Securities
(21.4%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
5,849,187
2.500%, 
5/1/2051
4,667,952
4,036,697
3.500%, 
5/1/2052
3,476,130
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Mortgage-Backed
Securities
(21.4%)
-
continued
$
2,661,323
4.000%, 
5/1/2052
$
2,388,492
8,957,455
3.500%, 
6/1/2052
7,719,176
5,049,636
5.000%, 
7/1/2053
4,779,994
6,407,172
5.500%, 
7/1/2053
6,216,602
1,200,000
5.500%, 
9/1/2053
1,164,302
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
3,242,623
2.500%, 
7/1/2030
2,955,683
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
3,214,126
3.500%, 
5/1/2040
2,855,349
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
6,468,052
3.000%, 
1/1/2052
5,384,642
817,298
2.000%, 
2/1/2051
625,982
499,983
2.000%, 
2/1/2051
382,352
3,653,053
2.500%, 
2/1/2051
2,921,389
3,083,082
2.500%, 
2/1/2051
2,470,540
7,087,287
2.000%, 
3/1/2051
5,416,587
6,851,032
3.000%, 
3/1/2052
5,681,624
234,365
5.000%, 
3/1/2053
221,228
5,510,432
2.000%, 
4/1/2051
4,210,866
3,944,308
3.000%, 
4/1/2051
3,274,646
4,099,139
3.000%, 
5/1/2050
3,429,803
968,876
2.000%, 
5/1/2051
738,919
2,412,977
3.000%, 
5/1/2051
2,028,584
2,550,197
3.000%, 
6/1/2050
2,154,146
3,063,047
5.000%, 
6/1/2053
2,904,227
5,545,937
2.500%, 
7/1/2051
4,427,145
2,772,147
3.500%, 
7/1/2051
2,424,006
1,181,119
2.500%, 
8/1/2050
953,499
5,095,460
3.500%, 
8/1/2050
4,460,241
3,626,640
3.500%, 
9/1/2052
3,135,728
2,971,771
4.500%, 
9/1/2053
2,731,735
4,436,769
4.000%, 
10/1/2052
3,962,965
944,981
2.000%, 
11/1/2051
721,561
3,885,895
2.000%, 
12/1/2050
2,976,378
12,984,774
4.500%, 
12/1/2052
11,974,918
8,100,000
4.000%, 
10/1/2048
e
7,210,898
3,300,000
4.500%, 
10/1/2048
e
3,029,813
2,800,000
5.000%, 
10/1/2048
e
2,641,625
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
6,088,928
2.500%, 
3/1/2062
4,672,987
2,412,850
3.500%, 
7/1/2061
2,052,156
2,285,940
4.000%, 
12/1/2061
2,035,873
Total
137,480,743
Technology
(2.3%)
Advanced
Micro
Devices,
Inc.
90,000
3.924%, 
6/1/2032
80,888
Akamai
Technologies,
Inc.,
Convertible
105,000
0.125%, 
5/1/2025
123,837
452,000
0.375%, 
9/1/2027
470,758
225,000
1.125%, 
2/15/2029
f
226,912
Analog
Devices,
Inc.
48,000
2.100%, 
10/1/2031
37,904
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
74
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Technology
(2.3%)
-
continued
Apple,
Inc.
$
250,000
2.200%, 
9/11/2029
$
214,484
183,000
1.650%, 
2/8/2031
144,966
AthenaHealth
Group,
Inc.
277,000
6.500%, 
2/15/2030
f
231,712
Block,
Inc.,
Convertible
91,000
0.125%, 
3/1/2025
84,448
347,000
0.250%, 
11/1/2027
260,465
Broadcom
Corporation/Broadcom
Cayman
Finance,
Ltd.
147,000
3.875%, 
1/15/2027
138,122
Broadcom,
Inc.
89,000
4.000%, 
4/15/2029
f
80,313
Cloud
Software
Group,
Inc.
217,000
6.500%, 
3/31/2029
f
191,900
77,000
9.000%, 
9/30/2029
f
66,913
CommScope
Technologies,
LLC
94,000
6.000%, 
6/15/2025
f
89,484
CommScope,
Inc.
210,000
7.125%, 
7/1/2028
f
125,645
CSG
Systems
International,
Inc.,
Convertible
118,000
3.875%, 
9/15/2028
f
114,826
Dell
International,
LLC/EMC
Corporation
128,000
5.250%, 
2/1/2028
126,046
62,000
5.300%, 
10/1/2029
60,188
Euronet
Worldwide,
Inc.,
Convertible
155,000
0.750%, 
3/15/2049
142,406
Fiserv,
Inc.
156,000
2.750%, 
7/1/2024
152,244
196,000
4.200%, 
10/1/2028
183,785
43,000
5.600%, 
3/2/2033
41,675
Gartner,
Inc.
185,000
3.625%, 
6/15/2029
f
158,262
315,000
3.750%, 
10/1/2030
f
264,349
Global
Payments,
Inc.
52,000
2.650%, 
2/15/2025
49,543
137,000
4.950%, 
8/15/2027
131,664
98,000
3.200%, 
8/15/2029
83,341
II-VI,
Inc.
83,000
5.000%, 
12/15/2029
f,h
71,964
Intel
Corporation
174,000
5.125%, 
2/10/2030
170,743
InterDigital,
Inc.,
Convertible
436,000
3.500%, 
6/1/2027
513,128
Iron
Mountain,
Inc.
655,000
4.875%, 
9/15/2027
f
604,142
220,000
4.500%, 
2/15/2031
f
180,942
Jabil,
Inc.
88,000
5.450%, 
2/1/2029
85,576
Lumentum
Holdings,
Inc.,
Convertible
314,000
0.250%, 
3/15/2024
310,860
551,000
0.500%, 
6/15/2028
h
400,191
Marvell
Technology,
Inc.
98,000
2.950%, 
4/15/2031
79,284
Mastercard,
Inc.
90,000
2.000%, 
11/18/2031
70,599
Microchip
Technology,
Inc.,
Convertible
530,000
0.125%, 
11/15/2024
h
556,500
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Technology
(2.3%)
-
continued
Moody's
Corporation
$
94,000
4.250%, 
8/8/2032
$
85,298
NCR
Corporation
293,000
5.125%, 
4/15/2029
f
258,150
290,000
6.125%, 
9/1/2029
f
297,403
NVIDIA
Corporation
49,000
2.850%, 
4/1/2030
42,750
NXP
BV/NXP
Funding,
LLC
92,000
4.875%, 
3/1/2024
91,540
NXP
BV/NXP
Funding,
LLC/NXP
USA,
Inc.
56,000
2.700%, 
5/1/2025
53,184
98,000
4.300%, 
6/18/2029
89,778
ON
Semiconductor
Corporation,
Convertible
474,000
Zero
Coupon, 
5/1/2027
853,200
13,000
0.500%, 
3/1/2029
f
14,274
Open
Text
Corporation
199,000
3.875%, 
12/1/2029
f
163,582
320,000
4.125%, 
2/15/2030
f
267,713
Oracle
Corporation
93,000
6.150%, 
11/9/2029
94,409
245,000
2.950%, 
4/1/2030
206,164
133,000
6.250%, 
11/9/2032
134,643
PayPal
Holdings,
Inc.
97,000
2.850%, 
10/1/2029
84,088
113,000
2.300%, 
6/1/2030
92,348
Progress
Software
Corporation,
Convertible
153,000
1.000%, 
4/15/2026
157,437
PTC,
Inc.
160,000
3.625%, 
2/15/2025
f
153,765
145,000
4.000%, 
2/15/2028
f
129,956
Rackspace
Technology
Global,
Inc.
275,000
5.375%, 
12/1/2028
f
92,220
RingCentral,
Inc.
167,000
8.500%, 
8/15/2030
f
161,322
S&P
Global,
Inc.
90,000
2.900%, 
3/1/2032
74,072
Salesforce.com,
Inc.
249,000
1.950%, 
7/15/2031
197,196
Seagate
HDD
Cayman
104,000
8.500%, 
7/15/2031
f
106,682
299,500
9.625%, 
12/1/2032
f
322,724
Semtech
Corporation,
Convertible
169,000
1.625%, 
11/1/2027
f
157,930
Sensata
Technologies
BV
225,000
4.000%, 
4/15/2029
f
193,747
Sensata
Technologies,
Inc.
223,000
3.750%, 
2/15/2031
f
180,479
Shift4
Payments,
LLC/Shift4
Payments
Finance
Sub,
Inc.
100,000
4.625%, 
11/1/2026
f
94,286
SS&C
Technologies,
Inc.
620,000
5.500%, 
9/30/2027
f
585,057
Verint
Systems,
Inc.,
Convertible
238,000
0.250%, 
4/15/2026
203,192
Viavi
Solutions,
Inc.
224,000
3.750%, 
10/1/2029
f
182,090
Viavi
Solutions,
Inc.,
Convertible
179,000
1.625%, 
3/15/2026
f
170,855
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
75
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Technology
(2.3%)
-
continued
Vishay
Intertechnology,
Inc.,
Convertible
$
786,000
2.250%, 
9/15/2030
f
$
769,887
VMware,
Inc.
194,000
1.400%, 
8/15/2026
171,129
123,000
2.200%, 
8/15/2031
92,820
Xilinx,
Inc.
52,000
2.375%, 
6/1/2030
43,051
Ziff
Davis,
Inc.,
Convertible
404,000
1.750%, 
11/1/2026
371,478
Total
14,560,908
Transportation
(0.8%)
Air
Transport
Services
Group,
Inc.,
Convertible
282,000
3.875%, 
8/15/2029
f
276,783
Allegiant
Travel
Company
176,000
7.250%, 
8/15/2027
f
165,660
American
Airlines
Group,
Inc.
67,000
3.750%, 
3/1/2025
f
63,471
American
Airlines,
Inc.
139,000
7.250%, 
2/15/2028
f
132,899
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
599,500
5.500%, 
4/20/2026
f
585,509
Avis
Budget
Car
Rental,
LLC/Avis
Budget
Finance,
Inc.
101,000
5.375%, 
3/1/2029
f
89,766
Canadian
Pacific
Railway
Company
185,000
1.750%, 
12/2/2026
165,053
CSX
Corporation
98,000
4.250%, 
3/15/2029
92,823
Delta
Air
Lines,
Inc.
181,000
4.375%, 
4/19/2028
166,363
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.
167,024
4.500%, 
10/20/2025
f
162,231
ERAC
USA
Finance,
LLC
123,000
3.850%, 
11/15/2024
f
120,127
Hawaiian
Brand
Intellectual
Property,
Ltd.
242,000
5.750%, 
1/20/2026
f
217,765
Hertz
Corporation
184,000
4.625%, 
12/1/2026
f
163,070
221,000
5.000%, 
12/1/2029
f
173,026
JetBlue
Airways
Corporation,
Convertible
330,000
0.500%, 
4/1/2026
255,123
Mileage
Plus
Holdings,
LLC
186,001
6.500%, 
6/20/2027
f
184,290
Norfolk
Southern
Corporation
136,000
4.450%, 
3/1/2033
124,191
Penske
Truck
Leasing
Company,
LP/PTL
Finance
Corporation
111,000
1.200%, 
11/15/2025
f
99,848
51,000
5.750%, 
5/24/2026
f
50,250
96,000
1.700%, 
6/15/2026
f
85,106
Rand
Parent,
LLC
202,000
8.500%, 
2/15/2030
f,h
186,870
Ryder
System,
Inc.
81,000
2.850%, 
3/1/2027
73,705
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Transportation
(0.8%)
-
continued
Southwest
Airlines
Company
$
100,000
5.125%, 
6/15/2027
$
97,505
98,000
2.625%, 
2/10/2030
80,741
Southwest
Airlines
Company,
Convertible
574,000
1.250%, 
5/1/2025
h
569,695
Union
Pacific
Corporation
98,000
2.150%, 
2/5/2027
88,463
United
Airlines,
Inc.
219,000
4.375%, 
4/15/2026
f
202,529
183,000
4.625%, 
4/15/2029
f
157,294
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.
52,000
7.875%, 
5/1/2027
f,h
44,785
243,000
6.375%, 
2/1/2030
f
187,682
XPO
Escrow
Sub,
LLC
233,000
7.500%, 
11/15/2027
f
235,572
Total
5,298,195
U.S.
Government
&
Agencies
(4.8%)
U.S.
Treasury
Bonds
3,400,000
3.625%, 
2/15/2053
2,811,906
19,600,000
3.625%, 
5/15/2053
16,228,187
2,200,000
4.000%, 
11/15/2052
1,949,922
U.S.
Treasury
Notes
9,200,000
4.125%, 
7/31/2028
9,001,625
883,000
3.375%, 
5/15/2033
800,771
Total
30,792,411
Utilities
(1.8%)
AEP
Texas,
Inc.
92,000
4.700%, 
5/15/2032
84,186
AES
Corporation
156,000
3.950%, 
7/15/2030
f
134,460
Algonquin
Power
&
Utilities
Corporation
110,000
4.750%, 
1/18/2082
b
89,650
Alliant
Energy
Corporation,
Convertible
225,000
3.875%, 
3/15/2026
f
217,350
Ameren
Corporation
98,000
1.750%, 
3/15/2028
83,060
American
Electric
Power
Company,
Inc.
139,000
2.031%, 
3/15/2024
136,403
98,000
2.300%, 
3/1/2030
78,746
44,000
5.625%, 
3/1/2033
42,577
American
Water
Capital
Corporation,
Convertible
292,000
3.625%, 
6/15/2026
f
281,430
Arizona
Public
Service
Company
87,000
5.550%, 
8/1/2033
84,335
Calpine
Corporation
191,000
4.500%, 
2/15/2028
f
172,134
CenterPoint
Energy,
Inc.
105,000
2.500%, 
9/1/2024
101,658
95,000
1.450%, 
6/1/2026
85,087
146,000
2.650%, 
6/1/2031
116,610
CenterPoint
Energy,
Inc.,
Convertible
122,000
4.250%, 
8/15/2026
f
119,011
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
76
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Utilities
(1.8%)
-
continued
CMS
Energy
Corporation,
Convertible
$
297,000
3.375%, 
5/1/2028
f
$
278,437
Constellation
Energy
Generation,
LLC
90,000
5.800%, 
3/1/2033
87,753
Dominion
Energy,
Inc.
110,000
3.071%, 
8/15/2024
107,085
165,000
4.350%, 
1/15/2027
b,k
142,463
98,000
3.375%, 
4/1/2030
84,304
DTE
Energy
Company
138,000
4.220%, 
11/1/2024
135,427
80,000
4.875%, 
6/1/2028
77,315
Duke
Energy
Corporation
180,000
3.250%, 
1/15/2082
b
132,615
110,000
4.875%, 
9/16/2024
b,k
107,062
187,000
2.450%, 
6/1/2030
151,840
93,000
4.500%, 
8/15/2032
83,659
95,000
5.750%, 
9/15/2033
93,330
Duke
Energy
Corporation,
Convertible
705,000
4.125%, 
4/15/2026
f
684,202
Edison
International
118,000
4.950%, 
4/15/2025
115,642
180,000
5.000%, 
12/15/2026
b,k
153,842
Enel
Finance
International
NV
200,000
1.375%, 
7/12/2026
f
176,619
Entergy
Corporation
111,000
0.900%, 
9/15/2025
100,780
97,000
1.900%, 
6/15/2028
81,920
Evergy,
Inc.
106,000
2.450%, 
9/15/2024
102,399
Eversource
Energy
154,000
4.600%, 
7/1/2027
148,117
87,000
5.125%, 
5/15/2033
80,920
Exelon
Corporation
98,000
4.050%, 
4/15/2030
88,201
Fells
Point
Funding
Trust
165,000
3.046%, 
1/31/2027
f
149,619
FirstEnergy
Corporation,
Convertible
425,000
4.000%, 
5/1/2026
f
409,062
Florida
Power
&
Light
Company
85,000
4.400%, 
5/15/2028
81,961
Georgia
Power
Company
54,000
4.950%, 
5/17/2033
50,616
ITC
Holdings
Corporation
93,000
4.950%, 
9/22/2027
f
90,610
Jersey
Central
Power
&
Light
Company
185,000
2.750%, 
3/1/2032
f
144,882
National
Rural
Utilities
Cooperative
Finance
Corporation
116,000
3.450%, 
6/15/2025
111,613
79,000
5.050%, 
9/15/2028
77,609
NextEra
Energy
Capital
Holdings,
Inc.
100,000
3.800%, 
3/15/2082
b
84,650
87,000
6.051%, 
3/1/2025
87,132
129,000
5.749%, 
9/1/2025
128,638
98,000
2.250%, 
6/1/2030
78,456
NextEra
Energy
Operating
Partners,
LP
420,000
3.875%, 
10/15/2026
f
380,275
Principal
Amount
Long-Term
Fixed
Income
(65.2%)
Value
Utilities
(1.8%)
-
continued
NextEra
Energy
Partners,
LP,
Convertible
$
72,000
Zero
Coupon, 
6/15/2024
f
$
68,292
438,000
Zero
Coupon, 
11/15/2025
f
365,730
NiSource,
Inc.
98,000
2.950%, 
9/1/2029
84,464
NRG
Energy,
Inc.
111,000
2.000%, 
12/2/2025
f
100,448
128,000
10.250%, 
3/15/2028
b,f,k
125,364
73,000
3.375%, 
2/15/2029
f
59,085
135,000
5.250%, 
6/15/2029
f
119,172
NRG
Energy,
Inc.,
Convertible
510,000
2.750%, 
6/1/2048
539,580
PG&E
Corporation
268,000
5.000%, 
7/1/2028
h
242,749
PPL
Capital
Funding,
Inc.,
Convertible
359,000
2.875%, 
3/15/2028
f
326,690
Public
Service
Enterprise
Group,
Inc.
98,000
1.600%, 
8/15/2030
75,184
Sempra
240,000
4.875%, 
10/15/2025
b,k
227,397
120,000
3.400%, 
2/1/2028
109,221
Southern
California
Edison
Company
46,000
5.950%, 
11/1/2032
45,877
Southern
Company
92,000
4.475%, 
8/1/2024
90,665
112,000
5.700%, 
10/15/2032
110,010
111,000
4.000%, 
1/15/2051
b
102,673
317,000
3.750%, 
9/15/2051
b
276,487
Southern
Company,
Convertible
701,000
3.875%, 
12/15/2025
f
681,372
TerraForm
Power
Operating,
LLC
315,000
5.000%, 
1/31/2028
f
285,862
Vistra
Operations
Company,
LLC
184,000
5.125%, 
5/13/2025
f
179,294
282,000
5.000%, 
7/31/2027
f
259,268
Xcel
Energy,
Inc.
98,000
4.000%, 
6/15/2028
91,683
138,000
4.600%, 
6/1/2032
125,228
Total
11,607,547
Total
Long-Term
Fixed
Income
(cost
$456,600,160)
419,020,581
Shares
Common
Stock
(
14.6%
)
Value
Communications
Services
(1.1%)
4,312
Alphabet,
Inc.,
Class
A
m
564,268
16,715
Alphabet,
Inc.,
Class
C
m
2,203,873
16,680
Comcast
Corporation
739,591
20,651
DISH
Network
Corporation
m
121,015
547
Emerald
Holding,
Inc.
m
2,472
307
Liberty
Latin
America,
Ltd.,
Class
A
m
2,505
4,531
Meta
Platforms,
Inc.
m
1,360,252
548
Netflix,
Inc.
m
206,925
16,795
QuinStreet,
Inc.
m
150,651
24,568
Verizon
Communications,
Inc.
796,249
3,217
Walt
Disney
Company
m
260,738
13,778
Warner
Brothers
Discovery,
Inc.
m
149,629
4,674
Windstream
Services,
LLC
m
44,403
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
77
Shares
Common
Stock
(14.6%)
Value
Communications
Services
(1.1%)
-
continued
3,541
Ziff
Davis,
Inc.
m
$
225,526
Total
6,828,097
Consumer
Discretionary
(1.6%)
14,420
Amazon.com,
Inc.
m
1,833,070
5,289
Aptiv
plc
m
521,443
273
Booking
Holdings,
Inc.
m
841,918
1,179
Boot
Barn
Holdings,
Inc.
m
95,723
4,493
Cedar
Fair,
LP
166,241
192
Chipotle
Mexican
Grill,
Inc.
m
351,711
8,414
Clarus
Corporation
63,610
2,616
Columbia
Sportswear
Company
193,846
11,239
Cooper-Standard
Holdings,
Inc.
m
150,827
2,882
Crocs,
Inc.
m
254,279
1,873
D.R.
Horton,
Inc.
201,291
1,004
Domino's
Pizza,
Inc.
380,305
10,108
Everi
Holdings,
Inc.
m
133,628
435
Ford
Motor
Company
5,403
5,026
General
Motors
Company
165,707
999
Grand
Canyon
Education,
Inc.
m
116,763
1,367
Hilton
Worldwide
Holdings,
Inc.
205,296
2,588
Home
Depot,
Inc.
781,990
2,033
Lowe's
Companies,
Inc.
422,539
545
Lululemon
Athletica,
Inc.
m
210,157
150
Marriott
International,
Inc./MD
29,484
1,016
McDonald's
Corporation
267,655
648
Meritage
Homes
Corporation
79,309
82
NVR,
Inc.
m
488,991
253
O'Reilly
Automotive,
Inc.
m
229,942
2,012
Papa
John's
International,
Inc.
137,259
4,420
Skyline
Champion
Corporation
m
281,642
6,203
Sonos,
Inc.
m
80,081
2,971
Sony
Group
Corporation
ADR
244,840
9,227
Stoneridge,
Inc.
m
185,186
3,436
Tesla,
Inc.
m
859,756
25,027
ThredUp,
Inc.
m
100,358
Total
10,080,250
Consumer
Staples
(0.8%)
4,332
Altria
Group,
Inc.
182,161
738
Archer-Daniels-Midland
Company
55,660
4,713
BJ's
Wholesale
Club
Holdings,
Inc.
m
336,367
1,043
Casey's
General
Stores,
Inc.
283,195
9,115
Coca-Cola
Company
510,258
3,024
Colgate-Palmolive
Company
215,037
19,160
Coty,
Inc.
m
210,185
2,045
John
B.
Sanfilippo
&
Son,
Inc.
202,046
7,371
Kenvue,
Inc.
148,010
2,768
Kimberly-Clark
Corporation
334,513
2,497
Lamb
Weston
Holdings,
Inc.
230,873
3,234
Mondelez
International,
Inc.
224,440
83
PepsiCo,
Inc.
14,063
4,840
Philip
Morris
International,
Inc.
448,087
6,697
Pilgrim's
Pride
Corporation
m
152,892
14,401
Primo
Water
Corporation
198,734
1,487
Procter
&
Gamble
Company
216,894
3,701
Sysco
Corporation
244,451
5,492
Turning
Point
Brands,
Inc.
126,810
3,309
Tyson
Foods,
Inc.
167,071
3,245
US
Foods
Holding
Corporation
m
128,826
4,543
Walmart,
Inc.
726,562
Total
5,357,135
Shares
Common
Stock
(14.6%)
Value
Energy
(0.8%)
5,853
BP
plc
ADR
$
226,628
496
Cheniere
Energy,
Inc.
82,316
3,263
Chesapeake
Energy
Corporation
281,369
1,723
Chevron
Corporation
290,532
3,865
ConocoPhillips
463,027
8,224
Devon
Energy
Corporation
392,285
11,523
Enterprise
Products
Partners,
LP
315,385
562
EQT
Corporation
22,806
6,328
Exxon
Mobil
Corporation
744,046
8,082
Halliburton
Company
327,321
3,511
Marathon
Petroleum
Corporation
531,355
20,982
NOV,
Inc.
438,524
7,631
Permian
Resources
Corporation
106,529
2,979
Pioneer
Natural
Resources
Company
683,829
5,547
TechnipFMC
plc
112,826
406
Viper
Energy
Partners,
LP
11,319
Total
5,030,097
Financials
(2.2%)
1,087
Allstate
Corporation
121,103
17,663
Ally
Financial,
Inc.
471,249
2,760
American
Express
Company
411,764
4,264
American
International
Group,
Inc.
258,398
1,202
Ameriprise
Financial,
Inc.
396,275
5,922
Arch
Capital
Group,
Ltd.
m
472,043
17,073
Bank
of
America
Corporation
467,459
94
Bank
of
Marin
Bancorp
1,718
4,703
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
127,357
6,287
Bank
of
New
York
Mellon
Corporation
268,141
1,338
Berkshire
Hathaway,
Inc.
m
468,701
725
BlackRock
TCP
Capital
Corporation
8,511
226
BlackRock,
Inc.
146,107
1,408
Blackstone
Mortgage
Trust,
Inc.
30,624
11,003
Bridgewater
Bancshares,
Inc.
m
104,308
2,986
Byline
Bancorp,
Inc.
58,854
1,641
Capital
One
Financial
Corporation
159,259
1,393
Central
Pacific
Financial
Corporation
23,235
4,578
Charles
Schwab
Corporation
251,332
2,464
Chubb,
Ltd.
512,956
1,046
Cincinnati
Financial
Corporation
106,995
1,882
Citigroup,
Inc.
77,407
1,140
Citizens
Financial
Group,
Inc.
30,552
4,005
Comerica,
Inc.
166,408
574
Community
Trust
Bancorp,
Inc.
19,665
394
Dime
Community
Bancshares,
Inc.
7,864
1,494
Discover
Financial
Services
129,425
258
Eagle
Bancorp,
Inc.
5,534
1,020
Ellington
Residential
Mortgage
REIT
6,334
1,469
Encore
Capital
Group,
Inc.
m
70,159
430
FactSet
Research
Systems,
Inc.
188,022
3,871
Federated
Hermes,
Inc.
131,111
166
Financial
Institutions,
Inc.
2,794
1,643
First
Horizon
Corporation
18,106
130
First
Mid-Illinois
Bancshares,
Inc.
3,453
895
Fiserv,
Inc.
m
101,099
311
FS
KKR
Capital
Corporation
6,124
2,684
Glacier
Bancorp,
Inc.
76,494
647
Golub
Capital
BDC,
Inc.
9,491
450
Great
Southern
Bancorp,
Inc.
21,564
1,404
Hanmi
Financial
Corporation
22,787
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
78
Shares
Common
Stock
(14.6%)
Value
Financials
(2.2%)
-
continued
6,603
Heartland
Financial
USA,
Inc.
$
194,326
393
Heritage
Financial
Corporation
6,410
475
Hometrust
Bancshares,
Inc.
10,293
2,923
Hope
Bancorp,
Inc.
25,869
2,499
Houlihan
Lokey,
Inc.
267,693
251
Independent
Bank
Corporation/MI
4,603
6,060
Intercontinental
Exchange,
Inc.
666,721
6,490
J.P.
Morgan
Chase
&
Company
941,180
597
Janus
Henderson
Group
plc
15,415
1,905
Kinsale
Capital
Group,
Inc.
788,918
392
Loews
Corporation
24,818
1,673
M&T
Bank
Corporation
211,551
220
Marsh
&
McLennan
Companies,
Inc.
41,866
2,285
Mastercard,
Inc.
904,654
3,552
MetLife,
Inc.
223,456
295
Metropolitan
Bank
Holding
Corporation
m
10,703
2,728
MGIC
Investment
Corporation
45,530
966
MidWestOne
Financial
Group,
Inc.
19,639
1,988
Morgan
Stanley
162,360
3,463
Nasdaq,
Inc.
168,267
4,616
New
York
Community
Bancorp,
Inc.
52,345
3,498
NU
Holdings,
Ltd./Cayman
Islands
m
25,360
7,660
PayPal
Holdings,
Inc.
m
447,804
68
PNC
Financial
Services
Group,
Inc.
8,348
6,469
Radian
Group,
Inc.
162,437
3,882
Raymond
James
Financial,
Inc.
389,869
2,417
RLI
Corporation
328,446
174
SEI
Investments
Company
10,480
3,399
Triumph
Financial,
Inc.
m
220,221
200
TrustCo
Bank
Corporation
NY
5,458
294
U.S.
Bancorp
9,720
169
Veritex
Holdings,
Inc.
3,034
254
Visa,
Inc.
58,423
4,535
Voya
Financial,
Inc.
301,351
14,580
Wells
Fargo
&
Company
595,739
9,996
Western
Alliance
Bancorp
459,516
6,409
Zions
Bancorp
NA
223,610
Total
13,997,215
Health
Care
(1.7%)
3,858
Abbott
Laboratories
373,647
1,370
Agilent
Technologies,
Inc.
153,193
155
Agiliti,
Inc.
m
1,006
1,224
Align
Technology,
Inc.
m
373,712
822
Amgen,
Inc.
220,921
1,947
AstraZeneca
plc
ADR
131,851
9,229
Avantor,
Inc.
m
194,547
5,141
Baxter
International,
Inc.
194,021
799
Biogen,
Inc.
m
205,351
2,283
Bio-Techne
Corporation
155,404
4,489
Centene
Corporation
m
309,202
1,134
Cigna
Group
324,403
3,408
CVS
Health
Corporation
237,947
1,847
Danaher
Corporation
458,241
385
Dentsply
Sirona,
Inc.
13,152
3,278
Edwards
Lifesciences
Corporation
m
227,100
2,017
Elanco
Animal
Health,
Inc.
m
22,671
767
Elevance
Health,
Inc.
333,967
181
Eli
Lilly
&
Company
97,221
Shares
Common
Stock
(14.6%)
Value
Health
Care
(1.7%)
-
continued
5,194
Enovis
Corporation
m
$
273,880
4,160
Gilead
Sciences,
Inc.
311,750
5,750
Halozyme
Therapeutics,
Inc.
m
219,650
835
HCA
Healthcare,
Inc.
205,393
1,025
Hologic,
Inc.
m
71,135
818
Intuitive
Surgical,
Inc.
m
239,093
2,312
Johnson
&
Johnson
360,094
1,889
Laboratory
Corporation
of
America
Holdings
379,783
1,543
Lantheus
Holdings,
Inc.
m
107,208
27,687
Maravai
LifeSciences
Holdings,
Inc.
m
276,870
7,040
Medtronic
plc
551,654
7,218
Merck
&
Company,
Inc.
743,093
622
Molina
Healthcare,
Inc.
m
203,948
2,276
Novo
Nordisk
AS
ADR
m
206,979
8,910
Pfizer,
Inc.
295,545
4,103
Progyny,
Inc.
m
139,584
1,610
QuidelOrtho
Corporation
m
117,594
4,600
R1
RCM,
Inc.
m
69,322
1,250
Sarepta
Therapeutics,
Inc.
m
151,525
733
Thermo
Fisher
Scientific,
Inc.
371,023
1,401
UnitedHealth
Group,
Inc.
706,370
250
Vertex
Pharmaceuticals,
Inc.
m
86,935
13,756
Viemed
Healthcare,
Inc.
m
92,578
686
Waters
Corporation
m
188,108
1,989
Zimmer
Biomet
Holdings,
Inc.
223,206
3,199
Zoetis,
Inc.
556,562
Total
11,176,439
Industrials
(2.0%)
3,222
Advanced
Drainage
Systems,
Inc.
366,760
7,706
Air
Lease
Corporation
303,693
1,523
AMETEK,
Inc.
225,038
312
Armstrong
World
Industries,
Inc.
22,464
3,397
ASGN,
Inc.
m
277,467
1,262
Automatic
Data
Processing,
Inc.
303,612
871
Axon
Enterprise,
Inc.
m
173,320
11,896
Badger
Infrastructure
Solutions,
Ltd.
303,826
5,586
Barnes
Group,
Inc.
189,756
263
Boise
Cascade
Company
27,100
563
Carlisle
Companies,
Inc.
145,963
119
Caterpillar,
Inc.
32,487
3,090
Cimpress
plc
m
216,331
178
Cintas
Corporation
85,620
15,496
CNH
Industrial
NV
187,502
14,189
CSX
Corporation
436,312
841
Cummins,
Inc.
192,135
699
Curtiss-Wright
Corporation
136,745
445
Deere
&
Company
167,934
6,162
Delta
Air
Lines,
Inc.
227,994
5,747
ExlService
Holdings,
Inc.
m
161,146
8,290
Fastenal
Company
452,966
1,405
Ferguson
plc
231,080
4,320
Flowserve
Corporation
171,806
5,678
Fluor
Corporation
m
208,383
1,346
General
Dynamics
Corporation
297,426
119
Gibraltar
Industries,
Inc.
m
8,034
73
Gorman-Rupp
Company
2,402
4,260
Greenbrier
Companies,
Inc.
170,400
4,532
Helios
Technologies,
Inc.
251,435
974
Honeywell
International,
Inc.
179,937
9,806
Howmet
Aerospace,
Inc.
453,527
156
Hubbell,
Inc.
48,892
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
79
Shares
Common
Stock
(14.6%)
Value
Industrials
(2.0%)
-
continued
16,414
Janus
International
Group,
Inc.
m
$
175,630
746
JB
Hunt
Transport
Services,
Inc.
140,636
2,403
Johnson
Controls
International
plc
127,864
1,278
L3Harris
Technologies,
Inc.
222,525
1,011
Lincoln
Electric
Holdings,
Inc.
183,790
3,273
ManpowerGroup,
Inc.
239,976
710
Masco
Corporation
37,950
13,282
Masterbrand,
Inc.
m
161,376
3,124
Maximus,
Inc.
233,300
4,349
Miller
Industries,
Inc.
170,524
1,239
Moog,
Inc.
139,957
480
Northrop
Grumman
Corporation
211,291
1,137
Old
Dominion
Freight
Line,
Inc.
465,192
1,625
Oshkosh
Corporation
155,074
1,348
Owens
Corning,
Inc.
183,881
959
Parker-Hannifin
Corporation
373,550
2,212
Pentair
plc
143,227
1,398
Quanta
Services,
Inc.
261,524
3,309
RB
Global,
Inc.
206,813
8,474
Schneider
National,
Inc.
234,645
520
Simpson
Manufacturing
Company,
Inc.
77,901
2,677
Tennant
Company
198,500
5,011
Timken
Company
368,258
8,716
Uber
Technologies,
Inc.
m
400,849
2,100
United
Parcel
Service,
Inc.
327,327
1,631
United
Rentals,
Inc.
725,094
Total
12,826,147
Information
Technology
(3.0%)
1,208
Adobe,
Inc.
m
615,959
3,040
Advanced
Micro
Devices,
Inc.
m
312,573
1,593
Amphenol
Corporation
133,796
732
ANSYS,
Inc.
m
217,807
13,722
Apple,
Inc.
2,349,344
2,524
Applied
Materials,
Inc.
349,448
854
Autodesk,
Inc.
m
176,701
48
Broadcom,
Inc.
39,868
1,634
Calix,
Inc.
m
74,903
7,133
Ciena
Corporation
m
337,106
25,615
Cisco
Systems,
Inc.
1,377,062
5,127
Cohu,
Inc.
m
176,574
1,330
Crane
NXT
Company
73,908
16,278
Dropbox,
Inc.
m
443,250
1,329
Enphase
Energy,
Inc.
m
159,679
1,158
FormFactor,
Inc.
m
40,460
2,155
Fortinet,
Inc.
m
126,455
11,327
Gilat
Satellite
Networks,
Ltd.
m
72,833
2,397
Guidewire
Software,
Inc.
m
215,730
604
Insight
Enterprises,
Inc.
m
87,882
337
KLA
Corporation
154,568
12,149
Knowles
Corporation
m
179,927
123
Lam
Research
Corporation
77,093
701
Littelfuse,
Inc.
173,371
1,138
Microchip
Technology,
Inc.
88,821
11,674
Microsoft
Corporation
3,686,065
459
NetApp,
Inc.
34,829
1,248
NICE,
Ltd.
ADR
m
212,160
3,944
NVIDIA
Corporation
1,715,601
3,140
ON
Semiconductor
Corporation
m
291,863
2,684
Plexus
Corporation
m
249,558
7,734
QUALCOMM,
Inc.
858,938
185
Roper
Industries,
Inc.
89,592
3,037
Salesforce,
Inc.
m
615,843
Shares
Common
Stock
(14.6%)
Value
Information
Technology
(3.0%)
-
continued
8,052
Samsung
Electronics
Company,
Ltd.
$
407,062
781
ServiceNow,
Inc.
m
436,548
1,110
Silicon
Laboratories,
Inc.
m
128,638
2,885
Sprout
Social,
Inc.
m
143,904
1,788
TE
Connectivity,
Ltd.
220,872
2,972
Texas
Instruments,
Inc.
472,578
3,632
Trimble,
Inc.
m
195,619
30,655
TTM
Technologies,
Inc.
m
394,836
476
Tyler
Technologies,
Inc.
m
183,803
510
Universal
Display
Corporation
80,065
3,956
Varonis
Systems,
Inc.
m
120,816
911
VeriSign,
Inc.
m
184,505
977
Western
Digital
Corporation
m
44,580
3,822
Wolfspeed,
Inc.
m
145,618
1,377
Workiva,
Inc.
m
139,545
Total
19,108,556
Materials
(0.6%)
4,179
Alcoa
Corporation
121,442
1,626
Allegheny
Technologies,
Inc.
m
66,910
7,817
Axalta
Coating
Systems,
Ltd.
m
210,277
6,061
Ball
Corporation
301,717
1,305
Berry
Plastics
Group,
Inc.
80,793
2,582
Carpenter
Technology
Corporation
173,536
3,345
CF
Industries
Holdings,
Inc.
286,800
99
Eagle
Materials,
Inc.
16,485
2,247
Eastman
Chemical
Company
172,390
4,334
Ingevity
Corporation
m
206,342
14,946
Ivanhoe
Mines,
Ltd.
m
128,085
502
Linde
plc
186,920
2,780
Nucor
Corporation
434,653
3,091
PPG
Industries,
Inc.
401,212
3,879
Steel
Dynamics,
Inc.
415,906
14,869
Tronox
Holdings
plc
199,839
1,375
United
States
Lime
&
Minerals,
Inc.
276,375
Total
3,679,682
Real
Estate
(0.4%)
3,751
Agree
Realty
Corporation
207,205
2,211
Alexandria
Real
Estate
Equities,
Inc.
221,321
1,279
AvalonBay
Communities,
Inc.
219,656
1,300
Camden
Property
Trust
122,954
1,492
CBRE
Group,
Inc.
m
110,199
25,555
Cushman
and
Wakefield
plc
m
194,729
740
Equity
Residential
43,445
12,119
Healthcare
Realty
Trust,
Inc.
185,057
12,658
Host
Hotels
&
Resorts,
Inc.
203,414
12,681
Independence
Realty
Trust,
Inc.
178,422
1,072
Kite
Realty
Group
Trust
22,962
762
Mid-America
Apartment
Communities,
Inc.
98,031
8,422
National
Storage
Affiliates
Trust
267,314
936
Public
Storage
246,655
2,339
SBA
Communications
Corporation
468,198
2,652
UDR,
Inc.
94,597
Total
2,884,159
Utilities
(0.4%)
5,135
Alliant
Energy
Corporation
248,791
2,999
American
Electric
Power
Company,
Inc.
225,585
1,210
Black
Hills
Corporation
61,214
6,613
CenterPoint
Energy,
Inc.
177,559
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
80
Shares
Common
Stock
(14.6%)
Value
Utilities
(0.4%)
-
continued
3,269
Constellation
Energy
Corporation
$
356,582
2,832
Duke
Energy
Corporation
249,952
1,741
Entergy
Corporation
161,042
2,190
Evergy,
Inc.
111,033
23,200
NiSource,
Inc.
572,576
1,418
NorthWestern
Corporation
68,149
329
OGE
Energy
Corporation
10,966
2,937
Portland
General
Electric
Company
118,890
3,072
Public
Service
Enterprise
Group,
Inc.
174,828
1,950
Spire,
Inc.
110,331
Total
2,647,498
Total
Common
Stock
(cost
$74,130,414)
93,615,275
Shares
Registered
Investment
Companies
(
9.0%
)
Value
U.S.
Affiliated  (8.3%)
6,290,014
Thrivent
Core
Emerging
Markets
Debt
Fund
46,609,007
709,265
Thrivent
Core
International
Equity
Fund
6,688,373
Total
53,297,380
U.S.
Unaffiliated  (0.7%)
59,018
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
144,594
22,475
AllianceBernstein
Global
High
Income
Fund,
Inc.
218,007
27,863
Allspring
Income
Opportunities
Fund
169,964
8,000
BlackRock
Core
Bond
Trust
79,520
23,412
BlackRock
Corporate
High
Yield
Fund,
Inc.
202,046
20,506
BlackRock
Credit
Allocation
Income
Trust
198,498
5,350
BlackRock
Debt
Strategies
Fund,
Inc.
54,944
18,974
BlackRock
Enhanced
Global
Dividend
Trust
178,925
5,200
BlackRock
Enhanced
International
Dividend
Trust
25,948
700
BlackRock
Floating
Rate
Income
Strategies
Fund,
Inc.
8,834
3,599
BlackRock
Income
Trust,
Inc.
40,957
11,278
BlackRock
Multi-Sector
Income
Trust
163,193
16,086
Blackstone
Strategic
Credit
2027
Term
Fund
176,785
22,216
Eaton
Vance
Limited
Duration
Income
Fund
200,833
1,639
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
12,079
16,734
First
Trust
High
Income
Long/Short
Fund
179,388
6,177
Invesco
Dynamic
Credit
Opportunities
Fund
c,m
65,020
1,251
iShares
Biotechnology
ETF
152,985
44,750
Nuveen
Credit
Strategies
Income
Fund
226,435
6,800
Nuveen
Preferred
Income
Opportunities
Fund
43,044
Shares
Registered
Investment
Companies
(9.0%)
Value
U.S.
Unaffiliated  (0.7%)-
continued
5,300
Nuveen
Quality
Preferred
Income
Fund
II
$
32,701
18,592
PGIM
Global
High
Yield
Fund,
Inc.
200,422
18,673
PGIM
High
Yield
Bond
Fund,
Inc.
219,968
4,634
Pimco
Dynamic
Income
Fund
80,076
4,063
SPDR
Bloomberg
High
Yield
Bond
ETF
h
367,295
1,979
SPDR
S&P
Biotech
ETF
144,507
2,061
Tri-Continental
Corporation
54,802
9,350
Vanguard
Short-Term
Corporate
Bond
ETF
702,653
5,900
Virtus
Convertible
&
Income
Fund
18,349
11,271
Virtus
Dividend,
Interest
&
Premium
Strategy
Fund
127,700
1,750
Virtus
Equity
&
Convertible
Income
Fund
34,807
28,369
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
139,008
42,861
Western
Asset
High
Income
Opportunity
Fund,
Inc.
156,014
Total
4,820,301
Total
Registered
Investment
Companies
(cost
$71,794,050)
58,117,681
Shares
Preferred
Stock
(
1.2%
)
Value
Communications
Services
(0.1%)
21,875
AT&T,
Inc.,
4.750%
k
419,562
2,481
Paramount
Global,
Convertible,
5.750%
44,038
11,250
Telephone
and
Data
Systems,
Inc.,
6.000%
k
153,563
Total
617,163
Energy
(0.1%)
11,205
Crestwood
Equity
Partners,
LP,
9.250%
k
108,800
5,300
Energy
Transfer,
LP,
7.600%
b,k
129,479
5,109
Nustar
Logistics,
LP,
12.304%
b
131,352
748
UGI
Corporation,
Convertible,
7.250%
42,741
Total
412,372
Financials
(0.8%)
7,525
Aegon
Funding
Corporation
II,
5.100%
149,446
7,500
Allstate
Corporation,
5.100%
k
146,550
10,625
Apollo
Global
Management,
Inc.,
Convertible,
6.750%
m
585,437
20,000
Bank
of
America
Corporation,
4.250%
h,k
341,000
550
Bank
of
America
Corporation,
Convertible,
7.250%
k
611,715
14,875
Capital
One
Financial
Corporation,
5.000%
k
278,460
6,200
Equitable
Holdings,
Inc.,
5.250%
k
122,140
425
First
Horizon
Bank,
6.393%
*,b,k
282,057
17,000
J.P.
Morgan
Chase
&
Company,
4.200%
k
307,700
9,925
J.P.
Morgan
Chase
&
Company,
4.750%
k
203,363
10,750
KeyCorp,
6.200%
b,k
212,205
9,050
Morgan
Stanley,
4.250%
k
154,303
7,800
Morgan
Stanley,
5.850%
b,k
181,194
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
81
Shares
Preferred
Stock
(1.2%)
Value
Financials
(0.8%)
-
continued
5,100
Morgan
Stanley,
7.125%
b,k
$
130,866
9,350
Public
Storage
Operating
Company,
4.125%
k
168,020
3,775
Public
Storage
Operating
Company,
4.625%
k
74,368
958
Public
Storage
Operating
Company,
4.700%
k
18,748
2,700
Regions
Financial
Corporation,
5.700%
b,k
52,920
2,675
Synovus
Financial
Corporation,
5.875%
b,k
57,593
9,000
U.S.
Bancorp,
4.000%
k
144,090
15,500
Wells
Fargo
&
Company,
4.250%
k
258,695
698
Wells
Fargo
&
Company,
Convertible,
7.500%
k
778,270
Total
5,259,140
Utilities
(0.2%)
6,819
AES
Corporation,
Convertible,
6.875%
415,959
14,250
CMS
Energy
Corporation,
4.200%
k
282,435
11,341
NextEra
Energy,
Inc.,
Convertible,
6.926%
h
429,030
1,831
NiSource,
Inc.,
Convertible,
7.750%
178,431
6,200
Southern
Company,
4.950%
130,510
Total
1,436,365
Total
Preferred
Stock
(cost
$9,569,705)
7,725,040
Shares
Collateral
Held
for
Securities
Loaned
(
1.1%
)
Value
7,222,625
Thrivent
Cash
Management
Trust
7,222,625
Total
Collateral
Held
for
Securities
Loaned
(cost
$7,222,625)
7,222,625
Shares
or
Principal
Amount
Short-Term
Investments
(
4.1%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
900,000
5.270%,
10/25/2023
n,o
897,057
600,000
5.285%,
11/15/2023
n,o
596,249
1,500,000
5.300%,
12/6/2023
n,o
1,486,129
100,000
5.305%,
12/13/2023
n,o
98,976
600,000
5.315%,
12/15/2023
n,o
593,688
Thrivent
Core
Short-Term
Reserve
Fund
2,180,926
5.650%
21,809,256
U.S.
Treasury
Bills
500,000
5.282%,
11/16/2023
n,p
496,691
300,000
5.267%,
11/21/2023
n,q
297,785
Total
Short-Term
Investments
(cost
$26,265,306)
26,275,831
Total
Investments
(cost
$692,358,713)
102.5%
$658,819,487
Other
Assets
and
Liabilities,
Net
(2.5%)
(16,209,117)
Total
Net
Assets
100.0%
$642,610,370
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
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
marke
t
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
f
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$134,964,449
or
21.0%
of
total
net
assets.
g
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
29,
2023.
h
All
or
a
portion
of
the
security
is
on
loan.
i
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
j
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
k
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
l
Defaulted
security.  Interest
is
not
being
accrued.
m
Non-income
producing
security.
n
The
interest
rate
shown
reflects
the
yield.
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
September
29,
2023,
$198,676
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
q
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.
*
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
Diversified
Income
Plus
Portfolio
as
of
September
29,
2023
was
$292,507
or
0.05%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
29,
2023.
Security
Acquisition
Date
Cost
Credit
Suisse
Group
AG,
12/29/2049
12/04/2013
$
110,000
First
Horizon
Bank,
6.393%,
3/5/2019
06/21/2017
323,002
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
82
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Diversified
Income
Plus
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
6,125,297
Common
Stock
869,356
Total
lending
$6,994,653
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$7,222,625
Net
amounts
due
to
counterparty
$227,972
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
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
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:
CMT
1Y
-
Constant
Maturity
Treasury
Yield
1
Year
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
SOFRRATE
-
Secured
Overnight
Financing
Rate
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
TSFR6M
-
CME
Term
SOFR
6
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
83
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
1,471,671
1,303,635
168,036
Capital
Goods
4,874,702
4,408,703
465,999
Communications
Services
6,801,181
6,801,181
Consumer
Cyclical
8,190,071
8,190,071
Consumer
Non-Cyclical
7,662,024
7,337,148
324,876
Energy
1,078,445
1,078,445
Financials
3,796,384
3,796,384
Technology
9,742,320
9,742,320
Transportation
2,695,060
2,695,060
Utilities
530,596
530,596
Long-Term
Fixed
Income
Asset-Backed
Securities
38,429,524
38,429,524
Basic
Materials
6,876,019
6,876,019
Capital
Goods
12,247,200
12,247,200
Collateralized
Mortgage
Obligations
32,871,000
32,871,000
Commercial
Mortgage-Backed
Securities
4,276,228
4,276,228
Communications
Services
15,572,226
15,572,226
Consumer
Cyclical
22,429,212
22,429,212
Consumer
Non-Cyclical
18,484,938
18,484,938
Energy
17,532,583
17,532,583
Financials
50,424,029
50,424,029
Foreign
Government
137,818
137,818
Mortgage-Backed
Securities
137,480,743
137,480,743
Technology
14,560,908
14,560,908
Transportation
5,298,195
5,298,195
U.S.
Government
&
Agencies
30,792,411
30,792,411
Utilities
11,607,547
11,607,547
Common
Stock
Communications
Services
6,828,097
6,783,694
44,403
Consumer
Discretionary
10,080,250
10,080,250
Consumer
Staples
5,357,135
5,357,135
Energy
5,030,097
5,030,097
Financials
13,997,215
13,997,215
Health
Care
11,176,439
11,176,439
Industrials
12,826,147
12,522,321
303,826
Information
Technology
19,108,556
18,701,494
407,062
Materials
3,679,682
3,551,597
128,085
Real
Estate
2,884,159
2,884,159
Utilities
2,647,498
2,647,498
Preferred
Stock
Communications
Services
617,163
617,163
Energy
412,372
412,372
Financials
5,259,140
4,977,083
282,057
Utilities
1,436,365
1,436,365
Registered
Investment
Companies
U.S.
Unaffiliated
4,820,301
4,755,281
65,020
Short-Term
Investments
4,466,575
4,466,575
Subtotal
Investments
in
Securities
$576,490,226
$104,930,163
$470,536,132
$1,023,931
Other
Investments  *
Total
U.S.
Affiliated
Registered
Investment
Cos.
53,297,380
Affiliated
Short-Term
Investments
21,809,256
Collateral
Held
for
Securities
Loaned
7,222,625
Subtotal
Other
Investments
$82,329,261
Total
Investments
at
Value
$658,819,487
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
84
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Diversified
Income
Plus
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
864,241
864,241
Credit
Default
Swaps
2,469
2,469
Total
Asset
Derivatives
$866,710
$864,241
$2,469
$–
Liability
Derivatives
Futures
Contracts
2,971,560
2,971,560
Total
Liability
Derivatives
$2,971,560
$2,971,560
$–
$–
The
following
table
presents
Diversified
Income
Plus
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$3,672,099
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
2-Yr.
U.S.
Treasury
Note
34
December
2023
$
6,922,808
(
$
30,636)
CBOT
U.S.
Long
Bond
72
December
2023
8,667,965
(
475,715)
CME
E-mini
S&P
500
Index
121
December
2023
27,258,571
(
1,089,296)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
87
December
2023
11,123,340
(
797,527)
ICE
mini
MSCI
EAFE
Index
132
December
2023
13,859,612
(
385,712)
ICE
US
mini
MSCI
Emerging
Markets
Index
39
December
2023
1,910,364
(
47,139)
Ultra
10-Yr.
U.S.
Treasury
Note
41
December
2023
4,719,597
(
145,535)
Total
Futures
Long
Contracts
$
74,462,257
(
$
2,971,560)
CME
E-mini
Russell
2000
Index
(156)
December
2023
(
$
14,638,719)
$
609,639
CME
E-mini
S&P
Mid-Cap
400
Index
(7)
December
2023
(
1,822,168)
57,888
CME
Euro
Foreign
Exchange
Currency
(50)
December
2023
(
6,723,604)
90,791
Eurex
Euro
STOXX
50
Index
(147)
December
2023
(
6,614,735)
105,923
Total
Futures
Short
Contracts
(
$
29,799,226)
$864,241
Total
Futures
Contracts
$
44,663,031
($2,107,319)
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
85
The
following
table
presents
Diversified
Income
Plus
Portfolio's
swaps
contracts
held
as
of
September
29,
2023.
Investments
totaling
$297,785
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
41,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2028
$
3,810,000
$
$
2,469
$
2,469
Total
Credit
Default
Swaps
$–
$2,469
$2,469
1
As
the
buyer
of
protection,
Diversified
Income
Plus
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,
Diversified
Income
Plus
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
Diversified
Income
Plus
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.
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
86
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$59,518
$2,415
$14,350
$46,609
6,290
7.2%
Core
International
Equity
15,745
10,000
6,688
709
1.1
Total
U.S.
Affiliated
Registered
Investment
Companies
75,263
53,297
8.3
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
66,018
188,482
232,691
21,809
2,181
3.4
Total
Affiliated
Short-Term
Investments
66,018
21,809
3.4
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
7,289
59,727
59,793
7,223
7,223
1.1
Total
Collateral
Held
for
Securities
Loaned
7,289
7,223
1.1
Total
Value
$148,570
$82,329
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
($4,268)
$3,294
$
$2,415
Core
International
Equity
(144)
1,087
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
1,799
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$4,214
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
83
Total
Affiliated
Income
from
Securities
Loaned,
Net
$83
Total
Value
($4,412)
$4,381
$
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
87
Shares
Common
Stock
(
98.0%
)
Value
Belgium
(<0.1%)
483
Titan
Cement
International
SA
$
9,039
Total
9,039
Bermuda
(<0.1%)
26,000
Road
King
Infrastructure,
Ltd.
a
5,848
118,000
Shanghai
Industrial
Urban
Development
Group,
Ltd.
5,558
Total
11,406
Brazil
(5.7%)
5,000
Alupar
Investimento
SA
28,668
11,400
Ambev
SA
29,756
34,828
B3
SA
-
Brasil
Bolsa
Balcao
85,016
26,890
Banco
Bradesco
SA
ADR
76,637
1,700
Banco
BTG
Pactual
SA
10,494
24,400
Banco
do
Brasil
SA
229,362
26,941
Companhia
Energetica
de
Minas
Gerais
ADR
65,197
6,222
Companhia
Siderurgica
Nacional
SA
ADR
14,870
22,400
CPFL
Energia
SA
150,758
10,500
ENGIE
Brasil
Energia
SA
86,606
28,767
Gerdau
SA
ADR
137,219
393,300
Grupo
Casas
Bahia
SA
a
49,294
9,300
Guararapes
Confeccoes
SA
a
9,769
24,600
Hypera
SA
182,351
18,400
Iochpe-Maxion
SA
49,967
32,205
Itau
Unibanco
Holding
SA
ADR
172,941
77,400
Itausa
SA
139,200
6,100
Jalles
Machado
SA
10,437
193
Jalles
Machado
SA,
Common
Receipt
a,b
330
28,000
JBS
S/A
100,546
2,300
Localiza
Rent
a
Car
SA
26,859
16
Localiza
Rent
a
Car
SA,
Rights
a
57
28,200
Metalurgica
Gerdau
SA
62,498
65,700
Petroleo
Brasileiro
SA
450,674
28,325
Petroleo
Brasileiro
SA
ADR
424,592
18,300
Randon
SA
Implementos
e
Participacoes
42,705
27,900
Telefonica
Brasil
SA
238,506
6,039
Telefonica
Brasil
SA
ADR
51,634
87,100
TIM
SA/Brazil
259,053
33,536
Vale
SA
ADR
449,382
1,487
WEG
SA
10,751
Total
3,646,129
Cayman
Islands
(15.4%)
171,700
Alibaba
Group
Holding,
Ltd.
a
1,861,603
9,800
ANTA
Sports
Products,
Ltd.
109,655
4,275
Baidu.com,
Inc.
ADR
a
574,346
5,000
China
Mengniu
Dairy
Company,
Ltd.
16,678
77,400
Chow
Tai
Fook
Jewellery
Group,
Ltd.
116,208
95,000
Consun
Pharmaceutical
Group,
Ltd.
61,560
38,000
Geely
Automobile
Holdings,
Ltd.
44,564
101,000
Haidilao
International
Holding,
Ltd.
c
269,300
24,335
Hello
Group,
Inc.
ADR
169,858
7,881
Huazhu
Group,
Ltd.
ADR
a
310,748
9,209
JD.com,
Inc.
133,980
1,158
JOYY,
Inc.
ADR
44,131
9,388
KE
Holdings,
Inc.
ADR
145,702
33,700
Kuaishou
Technology
a,c
268,108
Shares
Common
Stock
(98.0%)
Value
Cayman
Islands
(15.4%)
-
continued
49,700
Meituan
a,c
$
719,467
2,284
MINISO
Group
Holding,
Ltd.
ADR
59,156
13,500
NetDragon
Websoft
Holdings,
Ltd.
24,880
4,145
NetEase
,
Inc.
ADR
415,163
5,742
PDD
Holdings,
Inc.
ADR
a
563,118
14,000
Seazen
Group,
Ltd.
a
2,545
698,500
Shui
On
Land,
Ltd.
63,221
116,000
Sino
Biopharmaceutical,
Ltd.
41,755
71,100
Tencent
Holdings,
Ltd.
2,756,118
38,632
Tencent
Music
Entertainment
Group
ADR
a
246,472
94,800
Tongcheng
Travel
Holdings,
Ltd.
a
207,355
150,000
Topsports
International
Holdings,
Ltd.
c
113,406
7,082
Trip.com
Group,
Ltd.
ADR
a
247,657
5,000
Want
Want
China
Holdings,
Ltd.
3,259
160,000
Xiaomi
Corporation
a,c
250,657
19,000
Zhongsheng
Group
Holdings,
Ltd.
53,198
Total
9,893,868
Chile
(0.5%)
57,475
Cencosud
SA
108,981
595,603
Colbun
SA
81,098
18,744
Embotelladora
Andina
SA
42,164
9,654
Empresas
CMPC
SA
17,774
25,539
S.A.C.I.
Falabella
57,066
Total
307,083
China
(12.7%)
366,800
Agricultural
Bank
of
China,
Ltd.
180,955
358,300
Aluminum
Corporation
of
China,
Ltd.,
Class
A
309,001
454,000
Aluminum
Corporation
of
China,
Ltd.,
Class
H
252,549
1,045,400
Bank
of
China,
Ltd.,
Class
A
540,327
410,000
Bank
of
Communications
Company,
Ltd.
323,948
386,500
Baoshan
Iron
&
Steel
Company,
Ltd.
322,954
6,900
Beijing
Tongrentang
Company,
Ltd.
51,750
389,900
BOE
Technology
Group
Company,
Ltd.
206,448
2,000
BYD
Company,
Ltd.,
Class
H
61,620
708,000
CGN
Power
Company,
Ltd.
c
183,288
351,000
China
Cinda
Asset
Management
Company,
Ltd.
35,261
23,000
China
Construction
Bank
Corporation
12,929
72,700
China
Merchants
Securities
Company,
Ltd.
139,843
552,000
China
Petroleum
&
Chemical
Corporation,
Class
H
300,225
218,000
China
Railway
Group,
Ltd.
112,112
7,500
China
Resources
Sanjiu
Medical
&
Pharmaceutical
Company,
Ltd.
51,465
47,800
China
State
Construction
Engineering
Corporation,
Ltd.
36,316
38,300
CITIC
Securities
Company,
Ltd.,
Class
A
114,389
423,000
CMOC
Group,
Ltd.
269,859
539,000
CRRC
Corporation,
Ltd.
259,743
77,700
Focus
Media
Information
Technology
Company,
Ltd.
76,212
147,500
Foxconn
Industrial
Internet
Company,
Ltd.
400,011
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
88
Shares
Common
Stock
(98.0%)
Value
China
(12.7%)
-
continued
21,600
Fuyao
Glass
Industry
Group
Company,
Ltd.,
Class
H
c
$
98,805
54,200
GF
Securities
Company,
Ltd.,
Class
H
72,416
756,200
Greenland
Holdings
Corporation,
Ltd.
a
284,612
45,200
Guangzhou
Baiyunshan
Pharmaceutical
Holdings,
Ltd.
194,438
114,000
Guotai
Junan
Securities
Company,
Ltd.
227,902
28,800
Haier
Smart
Home
Company,
Ltd.,
Class
H
90,016
12,800
Huatai
Securities
Company,
Ltd.
c
16,320
40,600
Jiangxi
Copper
Company,
Ltd.,
Class
A
107,277
207,000
Jiangxi
Copper
Company,
Ltd.,
Class
H
322,888
103,300
Jointown
Pharmaceutical
Group
Company,
Ltd.
153,167
644,000
People's
Insurance
Company
(Group)
of
China,
Ltd.
230,381
109,600
PetroChina
Company,
Ltd.,
Class
A
119,777
454,000
PetroChina
Company,
Ltd.,
Class
H
340,242
58,000
Ping
An
Insurance
(Group)
Company
of
China,
Ltd.
328,955
2,800
Shanghai
Pharmaceuticals
Holding
Company,
Ltd.,
Class
A
6,937
25,000
Shanghai
Pharmaceuticals
Holding
Company,
Ltd.,
Class
H
38,925
277,200
Shenwan
Hongyuan
Group
Company,
Ltd.
164,818
176,600
Shenzhen
Overseas
Chinese
Town
Company,
Ltd.
a
102,789
14,700
Shenzhou
International
Group
Holdings,
Ltd.
139,792
5,400
Sichuan
Kelun
Pharmaceutical
Company,
Ltd.
21,573
83,000
Tong
Ren
Tang
Technologies
Company,
Ltd.
65,821
14,000
Tsingtao
Brewery
Company,
Ltd.
114,002
19,155
Vipshop
Holdings,
Ltd.
ADR
a
306,672
75,000
Wanda
Film
Holding
Company,
Ltd.
a
139,134
30,999
Yunnan
Baiyao
Group
Company,
Ltd.
226,687
7,000
Zhongjin
Gold
Corporation,
Ltd.
10,453
Total
8,166,004
Colombia
(<0.1%)
1,282
Bancolombia
SA
9,769
Total
9,769
Czech
Republic
(0.3%)
6,195
Komercni
Banka
AS
180,119
42
Philip
Morris
CR
31,237
Total
211,356
Egypt
(0.1%)
39,587
Commercial
International
Bank
Egypt
SAE
GDR
52,176
Total
52,176
Greece
(0.4%)
2,870
Mytilineos
SA
105,638
Shares
Common
Stock
(98.0%)
Value
Greece
(0.4%)
-
continued
24,917
National
Bank
of
Greece
SA
a
$
140,279
Total
245,917
Hong
Kong
(0.6%)
46,000
China
Resources
Beer
(Holdings)
Company,
Ltd.
251,272
51,000
CITIC,
Ltd.
46,683
44,000
CSPC
Pharmaceutical
Group,
Ltd.
32,179
31,000
Far
East
Horizon,
Ltd.
22,299
28,000
Genertec
Universal
Medical
Group
Company,
Ltd.
c
13,943
14,000
Yuexiu
Property
Company,
Ltd.
16,093
Total
382,469
Hungary
(0.4%)
9,487
MOL
Hungarian
Oil
&
Gas
plc
71,858
5,283
OTP
Bank
Nyrt
190,473
Total
262,331
India
(16.5%)
439
ABB
India,
Ltd.
21,626
2,684
Amara
Raja
Energy
&
Mobility,
Ltd.
20,572
10,564
Asian
Paints,
Ltd.
401,521
12,825
Bajaj
Auto,
Ltd.
780,065
12,103
Bajaj
Finserv
,
Ltd.
223,758
34,433
Cipla
,
Ltd.
491,083
19,759
Coal
India,
Ltd.
70,078
4,913
Coromandel
International,
Ltd.
67,707
909
CRISIL,
Ltd.
42,886
7,281
Cummins
India,
Ltd.
148,387
2,722
Dr.
Reddy's
Laboratories,
Ltd.
ADR
182,020
35,941
HCL
Technologies,
Ltd.
532,697
9,021
HDFC
Asset
Management
Company,
Ltd.
c
287,324
36,174
HDFC
Life
Insurance
Company,
Ltd.
c
277,066
2,717
Hindustan
Unilever,
Ltd.
80,578
165,850
Indian
Oil
Corporation,
Ltd.
181,398
38,188
Infosys,
Ltd.
ADR
653,397
31,644
ITC,
Ltd.
169,075
37,318
Jio
Financial
Services,
Ltd.
a
103,899
23,696
Kotak
Mahindra
Bank,
Ltd.
493,825
30,269
Larsen
&
Toubro,
Ltd.
1,099,761
1,738
LTIMindtree
,
Ltd.
c
108,592
997
Mphasis
,
Ltd.
28,424
105
MRF,
Ltd.
135,495
315
Nestle
India,
Ltd.
85,253
2,378
Persistent
Systems,
Ltd.
165,253
9,155
PI
Industries,
Ltd.
380,253
8,446
Pidilite
Industries,
Ltd.
247,718
2,681
Polycab
India,
Ltd.
172,148
68,179
REC,
Ltd.
235,516
16,602
Reliance
Industries,
Ltd.
467,424
20,857
SBI
Life
Insurance
Company,
Ltd.
c
327,166
3,247
Schaeffler
India,
Ltd.
129,277
5,092
Siemens,
Ltd.
224,803
903
Solar
Industries
India,
Ltd.
52,323
1,094
Supreme
Industries,
Ltd.
54,297
23,701
Tata
Consultancy
Services,
Ltd.
1,003,552
8,061
Tech
Mahindra,
Ltd.
118,345
777
Thermax
,
Ltd.
29,059
3,082
UltraTech
Cement,
Ltd.
305,633
Total
10,599,254
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
89
Shares
Common
Stock
(98.0%)
Value
Indonesia
(2.4%)
478,700
Astra
International
Tbk
PT
$
192,275
1,525,500
Bank
Central
Asia
Tbk
PT
869,131
573,800
Bank
Mandiri
Persero
Tbk
PT
a
223,338
770,796
Bank
Rakyat
Indonesia
Persero
Tbk
PT
260,323
Total
1,545,067
Kuwait
(0.9%)
14,367
HumanSoft
Holding
Company
KSCC
145,227
6,590
Kuwait
Finance
House
KSCP
15,603
43,235
Mobile
Telecommunications
Company
KSCP
68,045
100,732
National
Bank
of
Kuwait
KSC
295,207
43,551
National
Industries
Group
Holding
28,194
Total
552,276
Luxembourg
(0.2%)
6,182
Reinet
Investments
SCA
135,739
Total
135,739
Malaysia
(1.2%)
4,200
AEON
Credit
Service
(M)
Bhd
10,895
96,100
Hong
Leong
Bank
Bhd
398,817
16,000
IOI
Corporation
Bhd
13,542
6,300
Kuala
Lumpur
Kepong
Bhd
28,679
87,000
Mah
Sing
Group
Bhd
16,652
3,400
Malayan
Banking
Bhd
6,361
14,400
MISC
Bhd
21,694
4,300
Petronas
Dagangan
Bhd
20,496
33,400
Public
Bank
Bhd
28,857
36,100
QL
Resources
Bhd
41,980
54,800
Sports
Toto
Bhd
17,273
13,500
Ta
Ann
Holdings
Bhd
9,690
75,000
Tenaga
Nasional
Bhd
159,505
Total
774,441
Mexico
(2.4%)
2,259
America
Movil
SAB
de
CV
ADR
39,126
28,800
Arca
Continental
SAB
de
CV
262,377
42,074
Cemex
SAB
de
CV
ADR
a
273,481
4,398
Coca-Cola
Femsa
SAB
de
CV
ADR
344,979
375
Fomento
Economico
Mexicano
SAB
de
CV
ADR
40,931
14,210
Grupo
Financiero
Banorte
SAB
de
CV
ADR
119,102
52,100
Grupo
Mexico
SAB
de
CV
246,218
5,000
Kimberly-Clark
de
Mexico,
SA
de
CV
9,956
77,500
Megacable
Holdings
SAB
de
CV
171,209
7,500
Wal-Mart
de
Mexico
SAB
de
CV
28,309
Total
1,535,688
Netherlands
(0.2%)
19,262
NEPI
Rockcastle
NV
105,905
Total
105,905
Philippines
(0.6%)
10,390
Aboitiz
Equity
Ventures,
Inc.
9,210
10,980
Jollibee
Foods
Corporation
44,466
20,550
SM
Investments
Corporation
306,179
Total
359,855
Shares
Common
Stock
(98.0%)
Value
Poland
(1.0%)
5,139
Asseco
Poland
SA
$
84,172
17,513
Orlen
SA
234,635
9,322
Powszechna
Kasa
Oszczednosci
Bank
Polski
SA
a
73,744
24,099
Powszechny
Zaklad
Ubezpieczen
SA
227,627
539
Santander
Bank
Polska
SA
a
44,249
Total
664,427
Qatar
(0.3%)
10,704
Commercial
Bank
PSQC
15,877
63,611
Gulf
International
Services
QSC
51,098
92,345
Masraf
Al
Rayan
QSC
56,562
13,213
Ooredoo
QPSC
38,804
2,749
Qatar
Electricity
&
Water
Company
QSC
13,232
20,230
Qatar
Gas
Transport
Company,
Ltd.
20,682
Total
196,255
Russian
Federation
(<0.1%)
22,154
LUKOIL
PJSC
a,b,d
0
78,093
NovaTek
PJSC
a,b,d
0
136,926
Sberbank
of
Russia
PJSC
a,b,d
0
Total
0
Saudi
Arabia
(3.4%)
31,283
Al
Rajhi
Bank
566,740
33,545
Alinma
Bank
299,004
2,634
Arab
National
Bank
16,855
2,630
Dr.
Sulaiman
Al
Habib
Medical
Services
Group
Company
165,284
1,908
Eastern
Province
Cement
Company
19,815
7,234
Fawaz
Abdulaziz
Al
Hokair
&
Company
a
40,240
42,728
Jarir
Marketing
Company
165,195
30,839
National
Commercial
Bank
269,827
12,477
Riyad
Bank
92,384
632
SABIC
Agri
-Nutrients
Company
22,430
5,463
Saudi
Arabian
Oil
Company
c
50,894
1,238
Saudi
Aramco
Base
Oil
Company
49,123
2,285
Saudi
Basic
Industries
Corporation
50,314
10,636
Saudi
Electricity
Company
54,125
27,431
Saudi
Telecom
Company
275,101
3,651
Savola
Group
35,113
Total
2,172,444
Singapore
(<0.1%)
1,501
China
Yuchai
International,
Ltd.
15,160
Total
15,160
South
Africa
(2.1%)
18,648
Absa
Group,
Ltd.
171,856
26,964
AECI,
Ltd.
160,584
16,179
Aspen
Pharmacare
Holdings,
Ltd.
146,821
3,039
Barloworld,
Ltd.
13,939
4,412
Coronation
Fund
Managers,
Ltd.
7,219
32,472
DataTec
,
Ltd.
61,655
26,482
FirstRand,
Ltd.
89,176
6,119
Kumba
Iron
Ore,
Ltd.
146,979
24,886
Momentum
Metropolitan
Holdings
25,972
3,796
MTN
Group,
Ltd.
22,625
1,406
Naspers,
Ltd.
224,945
9,435
Sasol,
Ltd.
129,516
16,925
Standard
Bank
Group
164,229
5,090
Super
Group,
Ltd.
8,893
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
90
Shares
Common
Stock
(98.0%)
Value
South
Africa
(2.1%)
-
continued
10,411
Vukile
Property
Fund,
Ltd.
$
7,203
Total
1,381,612
South
Korea
(10.6%)
1,142
AfreecaTV
Company,
Ltd.
70,933
180
Chong
Kun
Dang
Pharmaceutical
Corporation
a
12,510
269
Chongkundang
Holdings
Corporation
10,724
871
CJ
Corporation
57,821
2,216
Doosan
Bobcat,
Inc.
83,641
3,295
Green
Cross
Holdings
Corporation
34,040
10,800
GS
Holdings
Corporation
318,652
693
Hanmi
Pharm
Company,
Ltd.
153,616
2,216
Hanwha
Corporation
39,301
1,292
Huons
Global
Company,
Ltd.
21,695
758
HYBE
Company,
Ltd.
a
133,409
516
Hyundai
Motor
Company
72,965
552
Hyundai
Steel
Company
15,528
1,326
JW
Pharmaceutical
Corporation
a
37,656
1,907
JYP
Entertainment
Corporation
158,351
6,129
Kakao
Corporation
200,030
6,009
Kia
Corporation
361,683
173
Korea
Zinc
Company,
Ltd.
64,803
172
LG
Chem
,
Ltd.
62,975
3,838
Lotte
Shopping
Company,
Ltd.
202,812
1,252
Meritz
Financial
Group,
Inc.
51,238
1,483
NAVER
Corporation
221,730
24,011
NH
Investment
&
Securities
Company,
Ltd.
181,748
51
NongShim
Company,
Ltd.
17,844
2,291
PharmaResearch
Company,
Ltd.
214,417
1,058
POSCO
Holdings,
Inc.
416,819
595
Samsung
Biologics
Company,
Ltd.
a,c
300,348
3,237
Samsung
C&T
Corporation
258,087
45,223
Samsung
Electronics
Company,
Ltd.
2,286,210
109
Samsung
SDI
Company,
Ltd.
41,193
9,441
Samsung
Securities
Corporation,
Ltd.
256,864
1,297
Seoul
Semiconductor
Company,
Ltd.
10,103
332
SGC
Energy
Company,
Ltd.
6,321
95
SK
Biopharmaceuticals
Company,
Ltd.
a
6,066
4,016
SK
Hynix,
Inc.
340,013
1,367
Yuhan
Corporation
76,735
Total
6,798,881
Taiwan
(15.3%)
11,316
ASE
Technology
Holding
Company,
Ltd.
ADR
85,096
64,000
Asia
Cement
Corporation
78,839
7,000
Asustek
Computer,
Inc.
79,653
206,000
Capital
Securities
Corporation
93,261
187,000
Cheng
Shin
Rubber
Industry
Company,
Ltd.
246,350
3,000
Chicony
Power
Technology
Company,
Ltd.
10,648
9,000
China
Steel
Chemical
Corporation
31,531
130,000
China
Steel
Corporation
101,730
113,000
Chipbond
Technology
Corporation
239,023
22,000
Delta
Electronics,
Inc.
221,582
25,000
Elan
Microelectronics
Corporation
103,470
Shares
Common
Stock
(98.0%)
Value
Taiwan
(15.3%)
-
continued
37,000
Everlight
Electronics
Company,
Ltd.
$
53,796
66,000
Feng
Hsin
Steel
Company,
Ltd.
137,474
11,000
Getac
Holdings
Corporation
26,495
6,000
Global
Mixed
Mode
Technology,
Inc.
48,612
2,000
Grape
King
Bio,
Ltd.
9,671
1,060
Hotai
Motor
Company,
Ltd.
a
21,542
5,000
Makalot
Industrial
Company,
Ltd.
52,073
16,000
MediaTek
,
Inc.
365,806
41,000
Micro-Star
International
Company,
Ltd.
208,580
176,000
Nan
Ya
Plastics
Corporation
363,093
41,000
Novatek
Microelectronics
Corporation
538,396
106,000
Pou
Chen
Corporation
94,186
26,000
Powertech
Technology,
Inc.
81,830
8,000
President
Chain
Store
Corporation
65,035
72,000
Quanta
Computer,
Inc.
538,856
24,000
Radiant
Opto
-Electronics
Corporation
91,444
41,000
Realtek
Semiconductor
Corporation
503,415
22,000
Sigurd
Microelectronics
Corporation
39,171
5,100
SinoPac
Financial
Holdings
Company,
Ltd.
2,751
15,000
Systex
Corporation
49,239
65,646
Taichung
Commercial
Bank
Company,
Ltd.
a
29,806
250,900
Taiwan
Cooperative
Financial
Holding
Company,
Ltd.
199,084
247,499
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
4,035,779
50,704
Topco
Scientific
Company,
Ltd.
266,494
3,000
TTY
Biopharm
Company,
Ltd.
7,179
110,000
Uni
-President
Enterprises
Corporation
239,080
19,000
USI
Corporation
12,213
41,000
Winbond
Electronics
Corporation
32,227
496,840
Yuanta
Financial
Holding
Company,
Ltd.
a
385,953
Total
9,790,463
Thailand
(0.8%)
33,700
Bangchak
Corporation
pcl
NVDR
37,801
153,500
Bangkok
Dusit
Medical
Services
pcl
NVDR
112,423
73,700
Home
Product
Center
pcl
NVDR
25,240
343,000
Krung
Thai
Bank
pcl
NVDR
178,546
720,500
Land
and
Houses
pcl
NVDR
154,065
25,600
PTT
pcl
NVDR
23,479
Total
531,554
Turkey
(1.1%)
24,658
BIM
Birlesik
Magazalar
AS
246,679
36,379
KOC
Holding
AS
194,463
1,209
Tofas
Turk
Otomobil
Fabrikasi
AS
13,013
25,374
Turk
Hava
Yollari
Anonim
Ortakligi
a
223,961
Total
678,116
United
Arab
Emirates
(2.1%)
11,421
Abu
Dhabi
Islamic
Bank
PJSC
35,012
33,861
Aldar
Properties
PJSC
53,111
134,893
Deyaar
Development
PJSC
a
24,726
137,107
Dubai
Islamic
Bank
PJSC
218,394
242,308
Emaar
Properties
PJSC
530,276
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
91
Shares
Common
Stock
(98.0%)
Value
United
Arab
Emirates
(2.1%)
-
continued
35,859
Emirates
Central
Cooling
Systems
Corporation
$
18,409
91,286
Emirates
NBD
Bank
PJSC
442,383
Total
1,322,311
United
States
(0.8%)
9,664
Yum
China
Holding,
Inc.
538,478
Total
538,478
Total
Common
Stock
(cost
$64,191,011)
62,895,473
Shares
Preferred
Stock
(
0.7%
)
Brazil
(<0.1%)
15,000
Companhia
de
Saneamento
do
Parana
13,638
Total
13,638
South
Korea
(0.7%)
11,405
Samsung
Electronics
Company,
Ltd.
459,467
Total
459,467
Total
Preferred
Stock
(cost
$505,547)
473,105
Shares
or
Principal
Amount
Short-Term
Investments
(
1.0%
)
Federal
Home
Loan
Bank
Discount
Notes
100,000
5.270%,
 10/25/2023
e,f
99,673
Thrivent
Core
Short-Term
Reserve
Fund
51,904
5.650%
519,036
Total
Short-Term
Investments
(cost
$618,671)
618,709
Total
Investments
(cost
$65,315,229)
99.7%
$63,987,287
Other
Assets
and
Liabilities,
Net
0.3%
185,108
Total
Net
Assets
100.0%
$64,172,395
a
Non-income
producing
security.
b
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
c
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$3,284,684
or
5.1%
of
total
net
assets.
d
Pursuant
to
sanctions
related
to
the
Russian
invasion
of
Ukraine
which
restricts
the
ability
of
Russia
and
its
allied
nations
to
make
payments
on
its
dollar-denominated
sovereign
debt
and
equity,
existing
accruals
on
these
securities
have
been
reserved
and
income
is
currently
not
being
accrued.
e
The
interest
rate
shown
reflects
the
yield.
f
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Bhd
-
Borhad
-
suffix
used
in
Malaysia
to
identify
a
Public
Limited
Company
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
pcl
-
Public
Company
Limited
plc
-
Public
Limited
Company
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
92
Reference
Description:
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Emerging
Markets
Equity
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
6,662,978
1,540,730
5,122,248
Consumer
Discretionary
8,812,590
2,025,829
6,786,761
Consumer
Staples
2,437,433
385,910
2,051,193
330
Energy^
2,865,353
424,592
2,440,761
0
Financials^
12,262,326
249,578
12,012,748
0
Health
Care
3,101,225
182,020
2,919,205
Industrials
4,309,689
15,160
4,294,529
Information
Technology
13,899,686
738,493
13,161,193
Materials
6,178,680
874,952
5,303,728
Real
Estate
1,518,306
145,702
1,372,604
Utilities
847,207
65,197
782,010
Preferred
Stock
Information
Technology
459,467
459,467
Utilities
13,638
13,638
Short-Term
Investments
99,673
99,673
Subtotal
Investments
in
Securities
$63,468,251
$6,648,163
$56,819,758
$330
Other
Investments  *
Total
Affiliated
Short-Term
Investments
519,036
Subtotal
Other
Investments
$519,036
Total
Investments
at
Value
$63,987,287
*
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
the
table
above
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.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Emerging
Markets
Equity
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
44,945
44,945
Total
Liability
Derivatives
$44,945
$44,945
$–
$–
The
following
table
presents
Emerging
Markets
Equity
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$99,673
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
US
mini
MSCI
Emerging
Markets
Index
37
December
2023
$
1,812,620
(
$
44,945)
Total
Futures
Long
Contracts
$
1,812,620
(
$
44,945)
Total
Futures
Contracts
$
1,812,620
($44,945)
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
93
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
Emerging
Markets
Equity
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$753
$13,703
$13,937
$519
52
0.8%
Total
Affiliated
Short-Term
Investments
753
519
0.8
Total
Value
$753
$519
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$28
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$28
Total
Value
$–
$–
$
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
94
Shares
Common
Stock
(
93.8%
)
Value
Communications
Services
(8.7%)
10,967
Alphabet,
Inc.,
Class
A
a
$
1,435,142
9,759
Alphabet,
Inc.,
Class
C
a
1,286,724
8
Cable
One,
Inc.
4,925
477
Electronic
Arts,
Inc.
57,431
81
John
Wiley
and
Sons,
Inc.
3,011
455
Liberty
Global
plc,
Class
C
a
8,445
1,699
Lumen
Technologies,
Inc.
a
2,413
272
New
York
Times
Company
11,206
372
Omnicom
Group,
Inc.
27,706
54
Scholastic
Corporation
2,060
7,756
Verizon
Communications,
Inc.
251,372
3,373
Walt
Disney
Company
a
273,382
4,255
Warner
Brothers
Discovery,
Inc.
a
46,209
483
ZoomInfo
Technologies,
Inc.
a
7,921
Total
3,417,947
Consumer
Discretionary
(9.9%)
522
Aptiv
plc
a
51,464
457
Aramark
15,858
154
Autoliv,
Inc.
14,858
55
AutoNation,
Inc.
a
8,327
362
Best
Buy
Company,
Inc.
25,148
68
Booking
Holdings,
Inc.
a
209,709
432
BorgWarner,
Inc.
17,440
57
Buckle,
Inc.
1,903
217
Capri
Holdings,
Ltd.
a
11,416
296
CarMax,
Inc.
a
20,936
64
Choice
Hotels
International,
Inc.
7,841
66
Columbia
Sportswear
Company
4,891
225
Darden
Restaurants,
Inc.
32,225
48
Deckers
Outdoor
Corporation
a
24,676
66
Domino's
Pizza,
Inc.
25,000
40
Ethan
Allen
Interiors,
Inc.
1,196
160
Foot
Locker,
Inc.
2,776
506
GameStop
Corporation
a,b
8,329
373
Gap,
Inc.
3,965
282
Garmin,
Ltd.
29,666
647
Hanesbrands,
Inc.
2,562
258
Harley-Davidson,
Inc.
8,530
242
Hasbro,
Inc.
16,006
490
Hilton
Worldwide
Holdings,
Inc.
73,588
1,856
Home
Depot,
Inc.
560,809
40
Jack
in
the
Box,
Inc.
2,762
215
Kohl's
Corporation
4,506
81
La-Z-Boy,
Inc.
2,501
493
LKQ
Corporation
24,409
1,082
Lowe's
Companies,
Inc.
224,883
1,679
Lucid
Group,
Inc.
a,b
9,386
476
Marriott
International,
Inc./MD
93,563
643
Mattel,
Inc.
a
14,165
1,347
McDonald's
Corporation
354,854
67
Meritage
Homes
Corporation
8,200
96
Mohawk
Industries,
Inc.
a
8,238
725
Newell
Brands,
Inc.
6,547
2,273
NIKE,
Inc.
217,344
202
Nordstrom,
Inc.
3,018
67
ODP
Corporation
a
3,092
72
Pool
Corporation
25,639
120
PVH
Corporation
9,181
1,187
Rivian
Automotive,
Inc.
a
28,820
423
Royal
Caribbean
Cruises,
Ltd.
a
38,975
79
Signet
Jewelers,
Ltd.
5,673
2,120
Starbucks
Corporation
193,492
5,266
Tesla,
Inc.
a
1,317,659
Shares
Common
Stock
(93.8%)
Value
Consumer
Discretionary
(9.9%)
-
continued
257
Topgolf
Callaway
Brands
Corporation
a
$
3,557
202
Tractor
Supply
Company
41,016
92
Ulta
Beauty,
Inc.
a
36,749
344
Under
Armour,
Inc.,
Class
A
a
2,356
377
Under
Armour,
Inc.,
Class
C
a
2,405
74
Vail
Resorts,
Inc.
16,420
613
VF
Corporation
10,832
100
Whirlpool
Corporation
13,370
149
Wolverine
World
Wide,
Inc.
1,201
Total
3,903,932
Consumer
Staples
(6.8%)
1,008
Archer-Daniels-Midland
Company
76,023
280
Bunge,
Ltd.
30,310
359
Campbell
Soup
Company
14,748
447
Church
&
Dwight
Company,
Inc.
40,959
226
Clorox
Company
29,620
7,587
Coca-Cola
Company
424,720
1,458
Colgate-Palmolive
Company
103,678
886
Conagra
Brands,
Inc.
24,294
300
Darling
Ingredients,
Inc.
a
15,660
427
Estee
Lauder
Companies,
Inc.
61,723
1,083
General
Mills,
Inc.
69,301
172
Hain
Celestial
Group,
Inc.
a
1,784
550
Hormel
Foods
Corporation
20,916
120
Ingredion,
Inc.
11,808
188
J.M.
Smucker
Company
23,107
506
Kellanova
30,112
1,686
Keurig
Dr.
Pepper,
Inc.
53,227
623
Kimberly-Clark
Corporation
75,290
1,586
Kraft
Heinz
Company
53,353
1,259
Kroger
Company
56,340
269
Lamb
Weston
Holdings,
Inc.
24,872
464
McCormick
&
Company,
Inc.
35,097
2,518
Mondelez
International,
Inc.
174,749
2,541
PepsiCo,
Inc.
430,547
4,352
Procter
&
Gamble
Company
634,783
936
Sysco
Corporation
61,823
850
Target
Corporation
93,985
103
United
Natural
Foods,
Inc.
a
1,456
Total
2,674,285
Energy
(1.6%)
1,859
Baker
Hughes
Company
65,660
449
Cheniere
Energy,
Inc.
74,516
87
Core
Laboratories,
Inc.
2,089
1,665
Halliburton
Company
67,432
278
HF
Sinclair
Corporation
15,827
783
Marathon
Petroleum
Corporation
118,499
715
NOV,
Inc.
14,943
1,075
ONEOK,
Inc.
68,187
850
Phillips
66
102,128
814
TechnipFMC
plc
16,557
667
Valero
Energy
Corporation
94,521
Total
640,359
Financials
(11.2%)
485
Allstate
Corporation
54,034
499
Ally
Financial,
Inc.
13,313
1,167
American
Express
Company
174,105
192
Ameriprise
Financial,
Inc.
63,299
395
Arthur
J.
Gallagher
&
Company
90,032
73
Bank
of
Hawaii
Corporation
3,627
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
95
Shares
Common
Stock
(93.8%)
Value
Financials
(11.2%)
-
continued
1,438
Bank
of
New
York
Mellon
Corporation
$
61,331
276
BlackRock,
Inc.
178,431
130
Cathay
General
Bancorp
4,519
2,772
Charles
Schwab
Corporation
152,183
764
Chubb,
Ltd.
159,050
893
Citizens
Financial
Group,
Inc.
23,932
664
CME
Group,
Inc.
132,946
241
Comerica,
Inc.
10,014
469
Discover
Financial
Services
40,630
662
Equitable
Holdings,
Inc.
18,794
70
FactSet
Research
Systems,
Inc.
30,608
1,096
Fidelity
National
Information
Services,
Inc.
60,576
558
Franklin
Resources,
Inc.
13,716
576
Hartford
Financial
Services
Group,
Inc.
40,844
2,666
Huntington
Bancshares,
Inc.
27,726
1,032
Intercontinental
Exchange,
Inc.
113,541
100
International
Bancshares
Corporation
4,334
637
Invesco,
Ltd.
9,249
1,718
KeyCorp
18,486
302
Lincoln
National
Corporation
7,456
362
Loews
Corporation
22,918
306
M&T
Bank
Corporation
38,694
70
MarketAxess
Holdings,
Inc.
14,955
913
Marsh
&
McLennan
Companies,
Inc.
173,744
1,562
Mastercard,
Inc.
618,411
305
Moody's
Corporation
96,432
2,314
Morgan
Stanley
188,984
638
Nasdaq,
Inc.
31,000
384
Northern
Trust
Corporation
26,680
545
Old
National
Bancorp
7,924
1,957
PayPal
Holdings,
Inc.
a
114,406
736
PNC
Financial
Services
Group,
Inc.
90,359
452
Principal
Financial
Group,
Inc.
32,576
1,081
Progressive
Corporation
150,583
677
Prudential
Financial,
Inc.
64,241
1,729
Regions
Financial
Corporation
29,739
605
S&P
Global,
Inc.
221,073
621
State
Street
Corporation
41,582
790
Synchrony
Financial
24,150
415
T.
Rowe
Price
Group,
Inc.
43,521
426
Travelers
Companies,
Inc.
69,570
2,450
Truist
Financial
Corporation
70,095
2,987
Visa,
Inc.
687,040
180
Voya
Financial,
Inc.
11,961
691
Western
Union
Company
9,107
196
Willis
Towers
Watson
plc
40,956
280
Zions
Bancorp
NA
9,769
Total
4,437,246
Health
Care
(10.4%)
3,257
AbbVie,
Inc.
485,488
544
Agilent
Technologies,
Inc.
60,830
134
Align
Technology,
Inc.
a
40,913
985
Amgen,
Inc.
264,729
524
Becton,
Dickinson
and
Company
135,470
267
Biogen,
Inc.
a
68,622
346
BioMarin
Pharmaceutical,
Inc.
a
30,614
288
Bio-Techne
Corporation
19,604
3,880
Bristol-Myers
Squibb
Company
225,195
Shares
Common
Stock
(93.8%)
Value
Health
Care
(10.4%)
-
continued
470
Cardinal
Health,
Inc.
$
40,805
317
Cencora,
Inc.
57,050
1,016
Centene
Corporation
a
69,982
546
Cigna
Group
156,194
91
Cooper
Companies,
Inc.
28,939
1,294
Danaher
Corporation
321,041
101
DaVita,
Inc.
a
9,548
392
Dentsply
Sirona,
Inc.
13,391
713
Dexcom,
Inc.
a
66,523
1,118
Edwards
Lifesciences
Corporation
a
77,455
438
Elevance
Health,
Inc.
190,714
2,304
Gilead
Sciences,
Inc.
172,662
381
HCA
Healthcare,
Inc.
93,718
242
Henry
Schein,
Inc.
a
17,968
454
Hologic,
Inc.
a
31,508
231
Humana,
Inc.
112,386
153
IDEXX
Laboratories,
Inc.
a
66,902
290
Illumina,
Inc.
a
39,811
129
Insulet
Corporation
a
20,574
343
IQVIA
Holding,
Inc.
a
67,485
118
Jazz
Pharmaceuticals,
Inc.
a
15,274
164
Laboratory
Corporation
of
America
Holdings
32,972
4,682
Merck
&
Company,
Inc.
482,012
41
Mettler-Toledo
International,
Inc.
a
45,431
160
Patterson
Companies,
Inc.
4,742
143
Pediatrix
Medical
Group,
Inc.
a
1,818
206
Quest
Diagnostics,
Inc.
25,103
270
ResMed,
Inc.
39,925
199
Select
Medical
Holdings
Corporation
5,029
183
STERIS
plc
40,154
296
Teladoc
Health,
Inc.
a
5,503
474
Vertex
Pharmaceuticals,
Inc.
a
164,829
109
Waters
Corporation
a
29,889
136
West
Pharmaceutical
Services,
Inc.
51,029
387
Zimmer
Biomet
Holdings,
Inc.
43,429
853
Zoetis,
Inc.
148,405
Total
4,121,665
Industrials
(8.7%)
1,021
3M
Company
95,586
234
A.O.
Smith
Corporation
15,474
158
ACCO
Brands
Corporation
907
60
Acuity
Brands,
Inc.
10,219
117
AGCO
Corporation
13,839
198
Air
Lease
Corporation
7,803
161
Allegion
plc
16,776
72
Applied
Industrial
Technologies,
Inc.
11,132
47
ArcBest
Corporation
4,778
94
ASGN,
Inc.
a
7,678
764
Automatic
Data
Processing,
Inc.
183,803
40
Avis
Budget
Group,
Inc.
a
7,188
217
Broadridge
Financial
Solutions,
Inc.
38,854
237
Builders
FirstSource,
Inc.
a
29,504
217
C.H.
Robinson
Worldwide,
Inc.
18,690
1,546
Carrier
Global
Corporation
85,339
951
Caterpillar,
Inc.
259,623
1,586
Copart,
Inc.
a
68,341
3,779
CSX
Corporation
116,204
260
Cummins,
Inc.
59,400
514
Deere
&
Company
193,973
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
96
Shares
Common
Stock
(93.8%)
Value
Industrials
(8.7%)
-
continued
293
Delta
Air
Lines,
Inc.
$
10,841
76
Deluxe
Corporation
1,436
259
Dover
Corporation
36,133
736
Eaton
Corporation
plc
156,974
88
EMCOR
Group,
Inc.
18,514
285
Expeditors
International
of
Washington,
Inc.
32,670
97
Exponent,
Inc.
8,303
1,060
Fastenal
Company
57,918
379
Ferguson
plc
62,334
240
Flowserve
Corporation
9,545
652
Fortive
Corporation
48,352
234
Fortune
Brands
Innovations,
Inc.
14,545
312
Graco,
Inc.
22,739
85
Granite
Construction,
Inc.
3,232
34
Heidrick
&
Struggles
International,
Inc.
851
78
HNI
Corporation
2,701
36
ICF
International,
Inc.
4,349
140
IDEX
Corporation
29,123
562
Illinois
Tool
Works,
Inc.
129,434
748
Ingersoll
Rand,
Inc.
47,663
107
Interface,
Inc.
1,050
153
JB
Hunt
Transport
Services,
Inc.
28,844
1,265
Johnson
Controls
International
plc
67,311
59
Kelly
Services,
Inc.
1,073
297
Knight-Swift
Transportation
Holdings,
Inc.
14,895
60
Lennox
International,
Inc.
22,466
106
Lincoln
Electric
Holdings,
Inc.
19,270
95
ManpowerGroup,
Inc.
6,965
414
Masco
Corporation
22,128
370
MDU
Resources
Group,
Inc.
7,245
99
Middleby
Corporation
a
12,672
420
Norfolk
Southern
Corporation
82,711
167
Owens
Corning,
Inc.
22,780
965
PACCAR,
Inc.
82,044
237
Parker-Hannifin
Corporation
92,316
96
Paycom
Software,
Inc.
24,890
307
Pentair
plc
19,878
268
Quanta
Services,
Inc.
50,135
57
Resources
Connection,
Inc.
850
201
Robert
Half,
Inc.
14,729
212
Rockwell
Automation,
Inc.
60,604
86
Ryder
System,
Inc.
9,198
289
Sensata
Technologies
Holding
plc
10,930
98
Snap-On,
Inc.
24,996
274
Southwest
Airlines
Company
7,417
282
Stanley
Black
&
Decker,
Inc.
23,570
143
Steelcase,
Inc.
1,597
33
Tennant
Company
2,447
99
Tetra
Tech,
Inc.
15,051
121
Timken
Company
8,892
421
Trane
Technologies
plc
85,425
353
TransUnion
25,342
62
TrueBlue,
Inc.
a
909
179
U-Haul
Holding
Company
9,378
1,126
Union
Pacific
Corporation
229,287
1,338
United
Parcel
Service,
Inc.
208,554
127
United
Rentals,
Inc.
56,460
83
W.W.
Grainger,
Inc.
57,423
332
Wabtec
Corporation
35,282
442
Xylem,
Inc.
40,235
Total
3,450,017
Shares
Common
Stock
(93.8%)
Value
Information
Technology
(30.2%)
1,164
Accenture
plc
$
357,476
841
Adobe,
Inc.
a
428,826
2,973
Advanced
Micro
Devices,
Inc.
a
305,684
281
Akamai
Technologies,
Inc.
a
29,938
926
Analog
Devices,
Inc.
162,133
160
ANSYS,
Inc.
a
47,608
1,550
Applied
Materials,
Inc.
214,597
280
Atlassian
Corporation
a
56,423
396
Autodesk,
Inc.
a
81,936
504
Cadence
Design
Systems,
Inc.
a
118,087
7,523
Cisco
Systems,
Inc.
404,436
323
Cognex
Corporation
13,708
940
Cognizant
Technology
Solutions
Corporation
63,676
377
CommScope
Holding
Company,
Inc.
a
1,267
1,482
Corning,
Inc.
45,157
479
Dell
Technologies,
Inc.
33,003
112
F5,
Inc.
a
18,048
46
Fair
Isaac
Corporation
a
39,952
187
First
Solar,
Inc.
a
30,217
819
Flex,
Ltd.
a
22,097
1,231
Fortinet,
Inc.
a
72,235
1,061
Gen
Digital,
Inc.
18,758
145
Guidewire
Software,
Inc.
a
13,050
2,394
Hewlett
Packard
Enterprise
Company
41,584
1,636
HP,
Inc.
42,045
87
HubSpot,
Inc.
a
42,847
7,694
Intel
Corporation
273,522
1,676
International
Business
Machines
Corporation
235,143
517
Intuit,
Inc.
264,156
82
Itron,
Inc.
a
4,968
329
Keysight
Technologies,
Inc.
a
43,530
248
Lam
Research
Corporation
155,439
1,005
Microchip
Technology,
Inc.
78,440
13,040
Microsoft
Corporation
4,117,380
309
Motorola
Solutions,
Inc.
84,122
4,560
NVIDIA
Corporation
1,983,554
479
NXP
Semiconductors
NV
95,762
284
Okta,
Inc.
a
23,149
798
ON
Semiconductor
Corporation
a
74,174
3,006
Oracle
Corporation
318,396
206
PTC,
Inc.
a
29,186
143
RingCentral,
Inc.
a
4,237
197
Roper
Industries,
Inc.
95,403
1,798
Salesforce,
Inc.
a
364,598
343
Seagate
Technology
Holdings
plc
22,621
376
ServiceNow,
Inc.
a
210,169
297
Skyworks
Solutions,
Inc.
29,281
290
Splunk,
Inc.
a
42,413
281
Synopsys,
Inc.
a
128,971
584
TE
Connectivity,
Ltd.
72,142
189
Teradata
Corporation
a
8,509
1,676
Texas
Instruments,
Inc.
266,501
455
Trimble,
Inc.
a
24,506
317
Twilio,
Inc.
a
18,554
435
VMware,
Inc.
a
72,419
380
Workday,
Inc.
a
81,643
216
Xerox
Holdings
Corporation
3,389
95
Zebra
Technologies
Corporation
a
22,470
Total
11,953,535
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
97
Shares
Common
Stock
(93.8%)
Value
Materials
(2.6%)
410
Air
Products
and
Chemicals,
Inc.
$
116,194
216
Albemarle
Corporation
36,729
149
Avery
Dennison
Corporation
27,218
415
Axalta
Coating
Systems,
Ltd.
a
11,163
577
Ball
Corporation
28,723
63
Compass
Minerals
International,
Inc.
1,761
471
Ecolab,
Inc.
79,787
98
H.B.
Fuller
Company
6,724
470
International
Flavors
&
Fragrances,
Inc.
32,040
612
International
Paper
Company
21,708
905
Linde
plc
336,977
480
LyondellBasell
Industries
NV
45,456
63
Minerals
Technologies,
Inc.
3,450
613
Mosaic
Company
21,823
1,458
Newmont
Corporation
53,873
435
PPG
Industries,
Inc.
56,463
43
Schnitzer
Steel
Industries,
Inc.
1,197
267
Sealed
Air
Corporation
8,773
453
Sherwin-Williams
Company
115,538
184
Sonoco
Products
Company
10,000
Total
1,015,597
Real
Estate
(2.7%)
860
American
Tower
Corporation
141,427
211
Anywhere
Real
Estate,
Inc.
a
1,357
262
AvalonBay
Communities,
Inc.
44,996
273
Boston
Properties,
Inc.
16,238
573
CBRE
Group,
Inc.
a
42,322
206
COPT
Defense
Properties
4,909
800
Crown
Castle,
Inc.
73,624
537
Digital
Realty
Trust,
Inc.
64,988
173
Equinix,
Inc.
125,643
663
Equity
Residential
38,925
134
Federal
Realty
Investment
Trust
12,144
996
Healthpeak
Properties,
Inc.
18,286
1,306
Host
Hotels
&
Resorts,
Inc.
20,987
534
Iron
Mountain,
Inc.
31,746
88
Jones
Lang
LaSalle,
Inc.
a
12,424
383
Macerich
Company
4,178
148
PotlatchDeltic
Corporation
6,718
1,705
Prologis,
Inc.
191,318
199
SBA
Communications
Corporation
39,834
604
Simon
Property
Group,
Inc.
65,250
577
UDR,
Inc.
20,582
736
Ventas,
Inc.
31,008
916
Welltower,
Inc.
75,039
Total
1,083,943
Utilities
(1.0%)
359
American
Water
Works
Company,
Inc.
44,455
267
Atmos
Energy
Corporation
28,283
134
Avista
Corporation
4,337
538
CMS
Energy
Corporation
28,573
639
Consolidated
Edison,
Inc.
54,654
460
Essential
Utilities,
Inc.
15,792
643
Eversource
Energy
37,390
1,835
Exelon
Corporation
69,345
176
New
Jersey
Resources
Corporation
7,151
99
Ormat
Technologies,
Inc.
6,922
1,162
Sempra
79,051
Shares
Common
Stock
(93.8%)
Value
Utilities
(1.0%)
-
continued
388
UGI
Corporation
$
8,924
Total
384,877
Total
Common
Stock
(cost
$34,766,647)
37,083,403
Shares
Registered
Investment
Companies
(
5.7%
)
Value
U.S.
Unaffiliated  (5.7%)
27,459
iShares
MSCI
KLD
400
Social
ETF
2,235,437
Total
2,235,437
Total
Registered
Investment
Companies
(cost
$2,133,593)
2,235,437
Shares
Collateral
Held
for
Securities
Loaned
(
<0.1%
)
Value
15,525
Thrivent
Cash
Management
Trust
15,525
Total
Collateral
Held
for
Securities
Loaned
(cost
$15,525)
15,525
Shares
or
Principal
Amount
Short-Term
Investments
(
1.3%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
100,000
5.300%,
12/6/2023
c,d
99,075
Thrivent
Core
Short-Term
Reserve
Fund
39,832
5.650%
398,321
Total
Short-Term
Investments
(cost
$497,334)
497,396
Total
Investments
(cost
$37,413,099)
100.8%
$39,831,761
Other
Assets
and
Liabilities,
Net
(0.8%)
(301,477)
Total
Net
Assets
100.0%
$39,530,284
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
The
interest
rate
shown
reflects
the
yield.
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
ESG
Index
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
14,969
Total
lending
$14,969
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$15,525
Net
amounts
due
to
counterparty
$556
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
98
Definitions:
ETF
-
Exchange
Traded
Fund
plc
-
Public
Limited
Company
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
3,417,947
3,417,947
Consumer
Discretionary
3,903,932
3,903,932
Consumer
Staples
2,674,285
2,674,285
Energy
640,359
640,359
Financials
4,437,246
4,437,246
Health
Care
4,121,665
4,121,665
Industrials
3,450,017
3,450,017
Information
Technology
11,953,535
11,953,535
Materials
1,015,597
1,015,597
Real
Estate
1,083,943
1,083,943
Utilities
384,877
384,877
Registered
Investment
Companies
U.S.
Unaffiliated
2,235,437
2,235,437
Short-Term
Investments
99,075
99,075
Subtotal
Investments
in
Securities
$39,417,915
$39,318,840
$99,075
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
398,321
Collateral
Held
for
Securities
Loaned
15,525
Subtotal
Other
Investments
$413,846
Total
Investments
at
Value
$39,831,761
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
ESG
Index
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
16,239
16,239
Total
Liability
Derivatives
$16,239
$16,239
$–
$–
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
99
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
S&P
-
Standard
&
Poor's
The
following
table
presents
ESG
Index
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$99,075
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
Micro
E-mini
S&P
500
Index
18
December
2023
$
405,534
(
$
16,239)
Total
Futures
Long
Contracts
$
405,534
(
$
16,239)
Total
Futures
Contracts
$
405,534
($16,239)
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
ESG
Index
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$6,263
$5,865
$398
40
1.0%
Total
Affiliated
Short-Term
Investments
398
1.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
8
137
129
16
16
<0.1
Total
Collateral
Held
for
Securities
Loaned
8
16
<0.1
Total
Value
$8
$414
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$9
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$9
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$–
$–
$
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
100
Shares
Common
Stock
(
75
.1
%
)
Value
Communications
Services
(4.9%)
168,264
Alphabet,
Inc.,
Class
C
a
$
22,185,608
11,118
Altice
USA,
Inc.
a
36,356
5,758
AMC
Networks,
Inc.
a
67,829
261,370
Auto
Trader
Group
plc
b
1,963,939
2,302
Bumble,
Inc.
a
34,346
40
Cable
One,
Inc.
24,626
27,666
Cargurus,
Inc.
a
484,708
15,596
Carsales.com,
Ltd.
279,393
5,000
Cogeco
Communications,
Inc.
231,438
94,871
Comcast
Corporation
4,206,580
36,669
Deutsche
Telekom
AG
769,199
407
Electronic
Arts,
Inc.
49,003
3,457
Emerald
Holding,
Inc.
a
15,626
2,229
Entravision
Communications
Corporation
8,136
8,310
Frontier
Communications
Parent,
Inc.
a
130,052
14,007
iHeartMedia,
Inc.
a
44,262
32,906
Imax
Corporation
a
635,744
11,494
Integral
Ad
Science
Holding
Corporation
a
136,664
3,718
Interpublic
Group
of
Companies,
Inc.
106,558
7,698
Ipsos
SA
353,650
79,300
KDDI
Corporation
2,427,411
9,248
Liberty
Global
plc,
Class
A
a
158,326
24,704
Liberty
Global
plc,
Class
C
a
458,506
5,100
Liberty
Latin
America,
Ltd.,
Class
A
a
41,616
2,827
Live
Nation
Entertainment,
Inc.
a
234,754
75,371
Lumen
Technologies,
Inc.
a,c
107,027
2,112
Match
Group,
Inc.
a
82,738
39,460
Meta
Platforms,
Inc.
a
11,846,287
736,701
MFE-MediaForEurope
NV
311,395
91,986
Moneysupermarket.com
Group
plc
272,277
7,408
Netflix,
Inc.
a
2,797,261
47,300
Nintendo
Company,
Ltd.
1,965,455
51,100
Nippon
Television
Holdings,
Inc.
516,680
685
Omnicom
Group,
Inc.
51,019
15,169
Publicis
Groupe
SA
1,148,182
40,169
QuinStreet,
Inc.
a
360,316
235
REA
Group,
Ltd.
23,209
40,778
Rightmove
plc
278,283
11,305
Rogers
Communications,
Inc.
434,055
6,097
Scout24
SE
b
422,757
37,179
SEEK,
Ltd.
525,231
716
Shutterstock,
Inc.
27,244
2,580
Sinclair,
Inc.
28,948
43,900
SoftBank
Group
Corporation
1,849,311
1,923
TechTarget,
Inc.
a
58,382
4,440
Telephone
and
Data
Systems,
Inc.
81,296
10,559
Trade
Desk,
Inc.
a
825,186
1,062
Tripadvisor,
Inc.
a
17,608
43,700
TV
Asahi
Holdings
Corporation
493,829
123,308
Verizon
Communications,
Inc.
3,996,412
206,527
Warner
Brothers
Discovery,
Inc.
a
2,242,883
6,685
WPP
plc
59,559
154
Yelp,
Inc.
a
6,405
14,592
Ziff
Davis,
Inc.
a
929,364
Total
66,842,929
Consumer
Discretionary
(8.5%)
4,474
2U,
Inc.
a
11,051
117
Adient
plc
a
4,294
12,632
Amadeus
IT
Holding
SA
763,007
Shares
Common
Stock
(75.1%)
Value
Consumer
Discretionary
(8.5%)
-
continued
124,125
Amazon.com,
Inc.
a
$
15,778,770
856
American
Axle
&
Manufacturing
Holdings,
Inc.
a
6,215
11,635
American
Eagle
Outfitters,
Inc.
193,257
39,835
Aptiv
plc
a
3,927,333
106,487
Aristocrat
Leisure,
Ltd.
2,782,129
4,925
Autoliv,
Inc.
475,164
79
AutoNation,
Inc.
a
11,961
119,661
B&M
European
Value
Retail
SA
853,527
13,106
Bayerische
Motoren
Werke
AG
1,331,140
1,300
Beazer
Homes
USA,
Inc.
a
32,383
16,700
Benesse
Holdings,
Inc.
204,249
1,463
Best
Buy
Company,
Inc.
101,635
1,153
Booking
Holdings,
Inc.
a
3,555,794
5,672
Boot
Barn
Holdings,
Inc.
a
460,510
785
BRP,
Inc.
59,419
1,310
Brunswick
Corporation
103,490
2,791
Buckle,
Inc.
93,191
10,440
Cedar
Fair,
LP
386,280
14,098
Cheesecake
Factory,
Inc.
427,169
571
Chegg,
Inc.
a
5,093
608
Chipotle
Mexican
Grill,
Inc.
a
1,113,753
14,100
Chiyoda
Company,
Ltd.
86,465
44,292
Clarus
Corporation
334,847
4,434
Columbia
Sportswear
Company
328,559
11,826
Compagnie
Financiere
Richemont
SA
1,440,209
43,299
Compass
Group
plc
1,053,973
3,942
Container
Store
Group,
Inc.
a
8,869
1,510
Culp,
Inc.
a
8,426
26,557
D.R.
Horton,
Inc.
2,854,081
11,210
Dana,
Inc.
164,451
1,920
Darden
Restaurants,
Inc.
274,982
1,565
Deckers
Outdoor
Corporation
a
804,551
3,600
Denso
Corporation
a
57,765
7,865
Domino's
Pizza
Group
plc
36,120
7,031
Domino's
Pizza,
Inc.
2,663,272
374
Dorman
Products,
Inc.
a
28,334
18,511
eBay,
Inc.
816,150
1,540
Etsy,
Inc.
a
99,453
55,916
Everi
Holdings,
Inc.
a
739,209
978
Expedia
Group,
Inc.
a
100,802
1,900
Fast
Retailing
Company,
Ltd.
413,849
5,309
Ferrari
NV
1,565,016
8,795
Five
Below,
Inc.
a
1,415,115
1,224
Flutter
Entertainment
plc
a
199,672
10,779
Fox
Factory
Holding
Corporation
a
1,067,983
10,263
Gap,
Inc.
109,096
6,369
Gentex
Corporation
207,247
6,601
Goodyear
Tire
&
Rubber
Company
a
82,050
2,086
Green
Brick
Partners,
Inc.
a
86,590
9,066
Harley-Davidson,
Inc.
299,722
4,600
Heiwa
Corporation
66,018
1,207
Hermes
International
SCA
2,200,154
2,693
Hilton
Worldwide
Holdings,
Inc.
404,435
17,950
Home
Depot,
Inc.
5,423,772
116,100
Honda
Motor
Company,
Ltd.
a
1,306,090
185
Hyatt
Hotels
Corporation
19,625
76,614
Industria
de
Diseno
Textil
SA
2,850,965
29,511
InterContinental
Hotels
Group
plc
2,182,480
12,424
JB
Hi-Fi,
Ltd.
360,862
758
KB
Home
35,080
243
La
Francaise
des
Jeux
SAEM
b
7,893
11,707
Laureate
Education,
Inc.
165,069
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
101
Shares
Common
Stock
(75.1%)
Value
Consumer
Discretionary
(8.5%)
-
continued
1,640
La-Z-Boy,
Inc.
$
50,643
8,314
Lear
Corporation
1,115,739
1,190
Lennar
Corporation
133,554
453,207
Lottery
Corporation,
Ltd.
1,369,597
23,788
Lowe's
Companies,
Inc.
4,944,098
1,752
Lululemon
Athletica,
Inc.
a
675,589
3,645
LVMH
Moet
Hennessy
Louis
Vuitton
SE
2,751,358
1,078
M/I
Homes,
Inc.
a
90,595
116
Malibu
Boats,
Inc.
a
5,686
135
Marriott
Vacations
Worldwide
Corporation
13,585
12,700
Mazda
Motor
Corporation
144,202
700
McDonald's
Holdings
Company
(Japan),
Ltd.
26,747
6,781
Mercedes-Benz
Group
AG
471,936
2,705
Meritage
Homes
Corporation
331,065
5,181
MGM
Resorts
International
190,454
341
Modine
Manufacturing
Company
a
15,601
5,252
Mohawk
Industries,
Inc.
a
450,674
18,403
Moncler
SPA
1,066,546
7,743
Next
plc
686,743
23,200
Nikon
Corporation
244,340
177,400
Nissan
Motor
Company,
Ltd.
782,909
10,200
Nitori
Holdings
Company,
Ltd.
1,137,254
8,918
Nordstrom,
Inc.
c
133,235
135
NVR,
Inc.
a
805,045
1,122
ODP
Corporation
a
51,780
3,428
O'Reilly
Automotive,
Inc.
a
3,115,572
61,000
Oriental
Land
Company,
Ltd.
2,001,267
26,700
Pan
Pacific
International
Holdings
Company
560,352
2,942
Pandora
AS
303,589
7,343
Papa
John's
International,
Inc.
500,939
2,805
PENN
Entertainment,
Inc.
a
64,375
17,095
Pets
at
Home
Group
plc
69,476
2,899
Playa
Hotels
and
Resorts
NV
a
20,989
2,842
Polaris,
Inc.
295,966
2,192
Pool
Corporation
780,571
4,902
Premier
Investments,
Ltd.
78,189
1,572
PulteGroup,
Inc.
116,407
9,415
PUMA
SE
582,152
31,694
Qurate
Retail,
Inc.
a
19,226
3,590
Ross
Stores,
Inc.
405,490
7,000
Sangetsu
Company,
Ltd.
136,382
4,708
SeaWorld
Entertainment,
Inc.
a
217,745
14,328
Six
Flags
Entertainment
Corporation
a
336,851
4,880
Skyline
Champion
Corporation
a
310,954
20,300
Sony
Group
Corporation
1,660,044
34,779
Sony
Group
Corporation
ADR
2,866,137
134,052
Stellantis
NV
2,566,886
22,775
Stoneridge,
Inc.
a
457,094
9,323
Tapestry,
Inc.
268,036
398
Taylor
Morrison
Home
Corporation
a
16,959
26,242
Tesla,
Inc.
a
6,566,273
29,233
ThredUp,
Inc.
a
117,224
282
TopBuild
Corporation
a
70,951
297,400
Toyota
Motor
Corporation
5,335,454
7,422
Travel
+
Leisure
Company
272,610
10
Ulta
Beauty,
Inc.
a
3,994
3,660
Upbound
Group,
Inc.
107,787
3,649
Urban
Outfitters,
Inc.
a
119,286
119
Vail
Resorts,
Inc.
26,405
297
Visteon
Corporation
a
41,007
Shares
Common
Stock
(75.1%)
Value
Consumer
Discretionary
(8.5%)
-
continued
10,395
Wendy's
Company
$
212,162
26,257
Wesfarmers,
Ltd.
888,642
4,701
Whitbread
plc
197,880
2,269
Wingstop,
Inc.
408,057
7,829
Wyndham
Hotels
&
Resorts,
Inc.
544,429
4,600
Zensho
Holdings
Company,
Ltd.
199,753
28,600
ZOZO,
Inc.
523,700
Total
116,126,352
Consumer
Staples
(4.3%)
6,100
Ain
Holdings,
Inc.
179,837
10,300
Arcs
Company,
Ltd.
187,640
29,024
BJ's
Wholesale
Club
Holdings,
Inc.
a
2,071,443
314
Boston
Beer
Company,
Inc.
a
122,312
811
Cal-Maine
Foods,
Inc.
39,269
8,972
Carlsberg
AS
1,131,235
3,204
Casey's
General
Stores,
Inc.
869,950
7,796
Celsius
Holdings,
Inc.
a
1,337,794
9,007
Coca-Cola
European
Partners
plc
562,757
4,130
Coca-Cola
HBC
AG
112,930
81,416
Coles
Group,
Ltd.
812,602
224,343
Coty,
Inc.
a
2,461,043
1,033
Darling
Ingredients,
Inc.
a
53,923
63,665
Diageo
plc
2,347,223
4,995
Dollar
Tree,
Inc.
a
531,718
7,566
e.l.f.
Beauty,
Inc.
a
830,974
9,040
Flowers
Foods,
Inc.
200,507
20,407
ForFarmers
NV
53,377
3,074
George
Weston,
Ltd.
340,907
9,789
GrainCorp,
Ltd.
44,234
631
Hain
Celestial
Group,
Inc.
a
6,543
189
Hershey
Company
37,815
4,203
Hormel
Foods
Corporation
159,840
80,795
Imperial
Brands
plc
1,639,052
843
Ingredion,
Inc.
82,951
2,922
J
&
J
Snack
Foods
Corporation
478,185
69,500
Japan
Tobacco,
Inc.
1,599,059
86,330
Kenvue,
Inc.
1,733,506
11,083
Kesko
Oyj
198,566
121,556
Koninklijke
Ahold
Delhaize
NV
3,663,660
3,156
Kroger
Company
141,231
34,622
Lamb
Weston
Holdings,
Inc.
3,201,150
5,970
Lancaster
Colony
Corporation
985,229
49
Lindt
&
Spruengli
AG
544,515
8,308
Loblaw
Companies,
Ltd.
705,867
21,840
Metro,
Inc./CN
1,134,249
4,800
Ministop
Company,
Ltd.
47,076
46,499
Nestle
SA
5,263,502
56,649
Philip
Morris
International,
Inc.
5,244,564
339
PriceSmart,
Inc.
25,232
5,257
Reckitt
Benckiser
Group
plc
370,730
51
Seneca
Foods
Corporation
a
2,745
1,943
Simply
Good
Foods
Company
a
67,072
870
SpartanNash
Company
19,140
50,500
Sysco
Corporation
3,335,525
145,821
Tesco
plc
469,034
18,417
Turning
Point
Brands,
Inc.
425,249
766
Tyson
Foods,
Inc.
38,675
31,703
Unilever
plc
1,569,533
61,362
US
Foods
Holding
Corporation
a
2,436,071
56,087
Walmart,
Inc.
8,969,994
12,200
Yakult
Honsha
Company,
Ltd.
a
296,301
Total
59,183,536
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
102
Shares
Common
Stock
(75.1%)
Value
Energy
(4.8%)
3,093
Ampol,
Ltd.
$
66,778
7,140
APA
Corporation
293,454
368,179
BP
plc
2,373,272
68,524
BP
plc
ADR
2,653,249
1,031
Cactus,
Inc.
51,767
1,339
California
Resources
Corporation
74,997
401
Cheniere
Energy,
Inc.
66,550
691
Chord
Energy
Corporation
111,990
131
Civitas
Resources,
Inc.
10,594
637
Comstock
Resources,
Inc.
7,026
45,724
ConocoPhillips
5,477,735
1,178
CVR
Energy,
Inc.
40,087
37,781
Devon
Energy
Corporation
1,802,154
14,587
Enbridge,
Inc.
483,817
474,500
Eneos
Holdings,
Inc.
1,867,697
160,251
Enterprise
Products
Partners,
LP
4,386,070
54,637
Equinor
ASA
1,790,567
832
Evolution
Petroleum
Corporation
5,691
45,166
Exxon
Mobil
Corporation
5,310,618
2,064
Gran
Tierra
Energy,
Inc.
a
14,324
106,648
Halliburton
Company
4,319,244
7,143
Helmerich
&
Payne,
Inc.
301,149
3,336
HF
Sinclair
Corporation
189,919
10,572
Imperial
Oil,
Ltd.
651,171
5,584
International
Seaways,
Inc.
251,280
9,216
Koninklijke
Vopak
NV
315,242
18,601
Liberty
Energy,
Inc.
344,491
3,059
Magnolia
Oil
&
Gas
Corporation
70,082
3,846
Marathon
Oil
Corporation
102,881
22,121
Marathon
Petroleum
Corporation
3,347,792
14,987
Matador
Resources
Company
891,427
3,861
Murphy
Oil
Corporation
175,096
13,972
Noble
Corporation
plc
707,682
8,294
NOV,
Inc.
173,345
19,731
OMV
AG
942,443
746
ONEOK,
Inc.
47,319
4,980
Ovintiv,
Inc.
236,899
6,543
Par
Pacific
Holdings,
Inc.
a
235,155
1,766
Patterson-UTI
Energy,
Inc.
24,441
3,316
PBF
Energy,
Inc.
177,506
6,085
Phillips
66
731,113
25,728
Pioneer
Natural
Resources
Company
5,905,862
20,802
ProPetro
Holding
Corporation
a
221,125
176,841
Repsol
SA
2,908,860
9,279
RPC,
Inc.
82,954
190,435
Shell
plc
6,035,726
5,544
SM
Energy
Company
219,820
1,151
Solaris
Oilfield
Infrastructure,
Inc.
12,270
13,354
Talos
Energy,
Inc.
a
219,540
65,782
TC
Energy
Corporation
2,262,232
73,359
TechnipFMC
plc
1,492,122
69,870
Tenaris
SA
ADR
2,207,892
1,480
TORM
plc
40,056
7,430
TotalEnergies
SE
488,518
38,534
Tourmaline
Oil
Corporation
1,939,112
6,359
U.S.
Silica
Holdings,
Inc.
a
89,280
9,006
Viper
Energy
Partners,
LP
251,087
4,592
Williams
Companies,
Inc.
154,704
Total
65,655,274
Financials
(12.5%)
9,024
3i
Group
plc
227,141
27,799
AB
Industrivarden,
Class
A
733,038
26,725
AB
Industrivarden,
Class
C
704,233
Shares
Common
Stock
(75.1%)
Value
Financials
(12.5%)
-
continued
5,549
Allianz
SE
$
1,320,530
22,790
Allstate
Corporation
2,539,034
4,193
Amalgamated
Financial
Corporation
72,203
1,369
Amerant
Bancorp,
Inc.
23,875
16,634
American
Express
Company
2,481,626
1,120
American
Financial
Group,
Inc.
125,070
49,920
American
International
Group,
Inc.
3,025,152
7,286
Ameriprise
Financial,
Inc.
2,402,048
417
Ameris
Bancorp
16,009
5,970
Annaly
Capital
Management,
Inc.
112,296
61
Apollo
Global
Management,
Inc.
5,475
4,231
Arthur
J.
Gallagher
&
Company
964,372
1,978
Artisan
Partners
Asset
Management,
Inc.
74,017
5,796
Associated
Banc-Corp
99,170
550
Assurant,
Inc.
78,969
1,371
Assured
Guaranty,
Ltd.
82,973
298
Atlantic
Union
Bankshares
Corporation
8,576
1,855
AURELIUS
Equity
Opportunities
SE
&
Company
KGaA
24,711
82,344
Australia
and
New
Zealand
Banking
Group,
Ltd.
1,350,580
525
Axis
Capital
Holdings,
Ltd.
29,594
213
Axos
Financial,
Inc.
a
8,064
10,347
Azimut
Holding
SPA
225,167
4,958
Banc
of
California,
Inc.
61,380
1,435
Banca
Farmafactoring
SPA
b
14,315
53,811
Banca
Mediolanum
SPA
458,545
16,726
Banca
Popolare
di
Sondrio
SPA
85,841
307,734
Banco
Bilbao
Vizcaya
Argentaria
SA
2,490,470
444,289
Banco
Santander
SA
1,691,883
58,616
Bank
Hapoalim
BM
522,245
68,847
Bank
Leumi
Le-Israel
BM
570,456
153,628
Bank
of
America
Corporation
4,206,335
740
Bank
of
Hawaii
Corporation
36,771
2,673
Bank
of
Marin
Bancorp
48,862
11,900
Bank
of
Montreal
1,003,867
83,746
Bank
of
New
York
Mellon
Corporation
3,571,767
27,080
Bank
of
Nova
Scotia
1,213,790
1,272
Bank
OZK
47,153
1,466
BankFinancial
Corporation
12,637
3,476
BankUnited,
Inc.
78,905
2,594
Banner
Corporation
109,934
248,744
Barclays
plc
479,439
4,937
BAWAG
Group
AG
b
225,651
471
BayCom
Corporation
9,048
2,759
BCB
Bancorp,
Inc.
30,735
3,180
Berkshire
Hills
Bancorp,
Inc.
63,759
1,928
Block,
Inc.
a
85,333
222,000
BOC
Hong
Kong
(Holdings),
Ltd.
606,031
175
BOK
Financial
Corporation
13,996
2,763
Brighthouse
Financial,
Inc.
a
135,221
4,590
Brookline
Bancorp,
Inc.
41,815
2,127
Business
First
Bancshares,
Inc.
39,903
2,233
Cadence
Bank
47,384
25,741
Canadian
Imperial
Bank
of
Commerce
993,632
11,660
Canadian
Western
Bank
241,570
24,673
Capital
One
Financial
Corporation
2,394,515
39,405
Carlyle
Group,
Inc.
1,188,455
391
Cathay
General
Bancorp
13,591
2,850
Cboe
Global
Markets,
Inc.
445,198
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
103
Shares
Common
Stock
(75.1%)
Value
Financials
(12.5%)
-
continued
5,740
Central
Pacific
Financial
Corporation
$
95,743
252
Central
Valley
Community
Bancorp
3,556
33,684
Charles
Schwab
Corporation
1,849,252
14,221
Chubb,
Ltd.
2,960,528
3,681
Cincinnati
Financial
Corporation
376,529
4,759
Citizens
Financial
Group,
Inc.
127,541
2,336
CNB
Financial
Corporation
42,305
7,054
Columbia
Banking
System,
Inc.
143,196
61,293
Comerica,
Inc.
2,546,724
1,756
Commerce
Bancshares,
Inc.
84,253
328
Community
Bank
System,
Inc.
13,845
1,885
Community
Trust
Bancorp,
Inc.
64,580
2,051
ConnectOne
Bancorp,
Inc.
36,569
76,784
Credit
Agricole
SA
944,045
910
CrossFirst
Bankshares,
Inc.
a
9,182
928
Cullen/Frost
Bankers,
Inc.
84,643
1,910
Customers
Bancorp,
Inc.
a
65,799
1,304
CVB
Financial
Corporation
21,607
27,914
Danske
Bank
AS
647,772
137,200
DBS
Group
Holdings,
Ltd.
3,369,584
90,537
Deutsche
Bank
AG
995,027
7,736
Deutsche
Boerse
AG
1,335,982
4,721
Dime
Community
Bancshares,
Inc.
94,231
18,143
Discover
Financial
Services
1,571,728
93,205
DNB
Bank
ASA
1,872,654
4,310
Eagle
Bancorp,
Inc.
92,449
3,207
East
West
Bancorp,
Inc.
169,041
10,831
Eastern
Bankshares,
Inc.
135,821
2,034
Edenred
SE
127,239
1,142
Employers
Holdings,
Inc.
45,623
2,131
Enova
International,
Inc.
a
108,404
1,971
Enterprise
Financial
Services
Corporation
73,912
20,357
Equitable
Holdings,
Inc.
577,935
1,124
Equity
Bancshares,
Inc.
27,055
683
Euronet
Worldwide,
Inc.
a
54,217
13,564
Euronext
NV
b
943,501
114
EVERTEC,
Inc.
4,239
2,796
EXOR
NV
247,302
4,572
F.N.B.
Corporation
49,332
5,812
FactSet
Research
Systems,
Inc.
2,541,355
12,998
Federated
Hermes,
Inc.
440,242
3,368
Fidelity
National
Information
Services,
Inc.
186,149
2,546
Fifth
Third
Bancorp
64,490
2,461
Financial
Institutions,
Inc.
41,419
1,634
First
Bancorp/Puerto
Rico
21,994
66
First
Citizens
BancShares,
Inc./NC
91,087
763
First
Commonwealth
Financial
Corporation
9,316
205
First
Financial
Bancorp
4,018
1,415
First
Financial
Bankshares,
Inc.
35,545
1,478
First
Financial
Corporation
49,971
6,776
First
Foundation,
Inc.
41,198
633
First
Hawaiian,
Inc.
11,426
10,721
First
Horizon
Corporation
118,145
2,239
First
International
Bank
of
Israel,
Ltd.
96,447
1,419
First
Internet
Bancorp
23,002
372
First
Interstate
BancSystem,
Inc.
9,278
1,081
First
Merchants
Corporation
30,073
2,934
First
of
Long
Island
Corporation
33,770
209
Five
Star
Bancorp
4,193
993
FleetCor
Technologies,
Inc.
a
253,553
Shares
Common
Stock
(75.1%)
Value
Financials
(12.5%)
-
continued
3,983
Flushing
Financial
Corporation
$
52,297
7,016
Fulton
Financial
Corporation
84,964
7,642
Genworth
Financial,
Inc.
a
44,782
2,417
Glacier
Bancorp,
Inc.
68,885
1,146
Global
Life,
Inc.
124,605
3,248
Global
Payments,
Inc.
374,787
604
Great
Southern
Bancorp,
Inc.
28,944
2,090
Green
Dot
Corporation
a
29,114
17,848
Groupe
Bruxelles
Lambert
SA
1,328,074
6,194
Hamilton
Lane,
Inc.
560,185
807
Hancock
Whitney
Corporation
29,851
1,900
Hang
Seng
Bank,
Ltd.
23,574
5,644
Hanmi
Financial
Corporation
91,602
1,611
Hanover
Insurance
Group,
Inc.
178,789
3,664
Hartford
Financial
Services
Group,
Inc.
259,814
3,553
Heartland
Financial
USA,
Inc.
104,565
10,214
Heritage
Commerce
Corporation
86,513
5,692
Heritage
Financial
Corporation
92,837
2,395
Home
BancShares,
Inc.
50,151
4,670
HomeStreet,
Inc.
c
36,379
1,660
Hometrust
Bancshares,
Inc.
35,972
122,400
Hong
Kong
Exchanges
&
Clearing,
Ltd.
4,542,603
11,402
Hope
Bancorp,
Inc.
100,908
4,960
Horizon
Bancorp,
Inc.
52,973
9,770
Houlihan
Lokey,
Inc.
1,046,562
577,425
HSBC
Holdings
plc
4,518,602
145,297
Humm
Group,
Ltd.
41,104
10,931
Huntington
Bancshares,
Inc.
113,682
51,903
IG
Group
Holdings
plc
406,331
1,485
Independent
Bank
Corporation
72,899
2,547
Independent
Bank
Corporation/MI
46,712
1,517
Intact
Financial
Corporation
221,164
46,661
Intercontinental
Exchange,
Inc.
5,133,643
323
International
Bancshares
Corporation
13,999
965,997
Intesa
Sanpaolo
SPA
2,474,130
6,835
Invesco
Mortgage
Capital,
Inc.
68,418
12,886
Invesco,
Ltd.
187,105
8,207
Investor
AB,
Class
B
157,119
58,569
J.P.
Morgan
Chase
&
Company
8,493,676
573
Jack
Henry
&
Associates,
Inc.
86,603
13,761
Janus
Henderson
Group
plc
355,309
9,200
Japan
Post
Bank
Company,
Ltd.
80,057
40,100
Japan
Post
Holdings
Company,
Ltd.
320,806
1,507
Jyske
Bank
AS
a
109,927
2,349
Kearny
Financial
Corporation/MD
16,279
5,652
KeyCorp
60,816
6,354
Kinsale
Capital
Group,
Inc.
2,631,382
822
L
E
Lundbergforetagen
AB
34,274
4,965
Lancashire
Holdings,
Ltd.
35,741
4,256
Laurentian
Bank
of
Canada
94,849
2,575
Lazard,
Ltd.
79,851
412,055
Lloyds
TSB
Group
plc
221,437
24,888
M&T
Bank
Corporation
3,147,088
360,436
Man
Group
plc
979,679
80,051
Manulife
Financial
Corporation
1,462,813
17,231
Mastercard,
Inc.
6,821,925
672
Mercantile
Bank
Corporation
20,772
41,598
MetLife,
Inc.
2,616,930
2,480
Metropolitan
Bank
Holding
Corporation
a
89,974
10,193
MFA
Financial,
Inc.
97,955
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
104
Shares
Common
Stock
(75.1%)
Value
Financials
(12.5%)
-
continued
33,724
MGIC
Investment
Corporation
$
562,854
551
Mid
Penn
Bancorp,
Inc.
11,092
4,159
Midland
States
Bancorp,
Inc.
85,426
2,096
MidWestOne
Financial
Group,
Inc.
42,612
179,300
Mitsubishi
HC
Capital,
Inc.
1,194,690
192,200
Mitsubishi
UFJ
Financial
Group,
Inc.
1,628,733
11,250
Mizrahi
Tefahot
Bank,
Ltd.
408,541
54,700
Mizuho
Financial
Group,
Inc.
928,694
23,245
Morgan
Stanley
1,898,419
7,006
Mr.
Cooper
Group,
Inc.
a
375,241
2,826
MSCI,
Inc.
1,449,964
1,126
Muenchener
Rueckversicherungs-
Gesellschaft
AG
438,524
444
MVB
Financial
Corporation
10,026
8,189
Nasdaq,
Inc.
397,904
3,392
National
Bank
of
Canada
225,334
5,958
Navient
Corporation
102,597
12,976
New
York
Community
Bancorp,
Inc.
147,148
15,849
NMI
Holdings,
Inc.
a
429,349
174
Northrim
BanCorp,
Inc.
6,894
4,329
OceanFirst
Financial
Corporation
62,641
1,945
OFG
Bancorp
58,078
3,508
Old
National
Bancorp
51,006
3,073
Old
Republic
International
Corporation
82,787
1,601
Old
Second
Bancorp,
Inc.
21,790
8,441
OneMain
Holdings,
Inc.
338,400
516
Onex
Corporation
30,327
26,600
ORIX
Corporation
496,686
466
Pacific
Premier
Bancorp,
Inc.
10,140
7,213
Paragon
Banking
Group
plc
43,094
882
Partners
Group
Holding
AG
990,129
106,349
PayPal
Holdings,
Inc.
a
6,217,163
915
PCB
Bancorp
14,137
732
PennyMac
Financial
Services,
Inc.
48,751
1,041
Pinnacle
Financial
Partners,
Inc.
69,789
13,457
Plus500,
Ltd.
226,089
2,491
Popular,
Inc.
156,958
76,880
Power
Corporation
of
Canada
1,957,306
3,280
Premier
Financial
Corporation
55,957
278
PROG
Holdings,
Inc.
a
9,232
1,288
Prosperity
Bancshares,
Inc.
70,299
2,455
Provident
Financial
Services,
Inc.
37,537
2,023
Prudential
Financial,
Inc.
191,962
7,126
Radian
Group,
Inc.
178,934
50,925
Raymond
James
Financial,
Inc.
5,114,398
3,336
Regions
Financial
Corporation
57,379
46
Reinsurance
Group
of
America,
Inc.
6,679
49,756
Rithm
Capital
Corporation
462,233
5,112
RLI
Corporation
694,670
25,640
Royal
Bank
of
Canada
2,240,727
785
S&T
Bancorp,
Inc.
21,258
2,925
Sandy
Spring
Bancorp,
Inc.
62,683
13,388
SEI
Investments
Company
806,359
3,104
Selective
Insurance
Group,
Inc.
320,240
1,943
Shore
Bancshares,
Inc.
20,440
568
Simmons
First
National
Corporation
9,633
52,300
Singapore
Exchange,
Ltd.
372,063
425
SmartFinancial,
Inc.
9,082
14,300
Sompo
Holdings,
Inc.
612,852
241
Southern
First
Bancshares,
Inc.
a
6,493
1,103
SouthState
Corporation
74,298
Shares
Common
Stock
(75.1%)
Value
Financials
(12.5%)
-
continued
21,086
Standard
Chartered
plc
$
193,940
33,900
Sumitomo
Mitsui
Financial
Group,
Inc.
1,665,373
30,300
Sumitomo
Mitsui
Trust
Holdings,
Inc.
1,140,705
4,761
Sun
Life
Financial,
Inc.
232,293
4,586
Svolder
AB
21,290
5,484
Swedbank
AB
100,804
3,525
Synchrony
Financial
107,759
13,456
Synovus
Financial
Corporation
374,077
1,566
T.
Rowe
Price
Group,
Inc.
164,226
1,446
Territorial
Bancorp,
Inc.
13,144
10,892
Texas
Capital
Bancshares,
Inc.
a
641,539
7,100
Tokio
Marine
Holdings,
Inc.
164,391
33,555
Toronto-Dominion
Bank
2,021,576
5,904
TPG,
Inc.
177,828
8,397
Tradeweb
Markets,
Inc.
673,439
11,941
Triumph
Financial,
Inc.
a
773,657
1,922
TrustCo
Bank
Corporation
NY
52,451
3,233
Trustmark
Corporation
70,253
7,542
Two
Harbors
Investment
Corporation
99,856
766
UMB
Financial
Corporation
47,530
49,155
Unipol
Gruppo
SpA
265,306
1,623
United
Bankshares,
Inc.
44,779
1,101
United
Community
Banks,
Inc.
27,976
71,300
United
Overseas
Bank,
Ltd.
1,485,044
3,015
Univest
Financial
Corporation
52,401
11,053
Unum
Group
543,697
7,550
Valley
National
Bancorp
64,628
4,358
Veritex
Holdings,
Inc.
78,226
11,350
Virtu
Financial,
Inc.
196,015
474
Vontobel
Holding
AG
28,142
8,956
Voya
Financial,
Inc.
595,126
1,994
W.R.
Berkley
Corporation
126,599
561
Walker
&
Dunlop,
Inc.
41,649
3,126
Washington
Federal,
Inc.
80,088
95
Webster
Financial
Corporation
3,829
146,042
Wells
Fargo
&
Company
5,967,276
953
Wendel
SA
75,330
1,640
Westamerica
Bancorporation
70,930
19,137
Western
Alliance
Bancorp
879,728
43,831
Western
Union
Company
577,693
768
WEX,
Inc.
a
144,453
119
Willis
Towers
Watson
plc
24,866
8,215
Wintrust
Financial
Corporation
620,233
1,399
Worldline
SA
a,b
39,272
257
WSFS
Financial
Corporation
9,381
5,482
Zions
Bancorp
NA
191,267
Total
170,501,538
Health
Care
(10.4%)
845
ACADIA
Pharmaceuticals,
Inc.
a
17,610
2,525
Agilent
Technologies,
Inc.
282,346
593
Agiliti,
Inc.
a
3,849
2,226
Agios
Pharmaceuticals,
Inc.
a
55,094
4,903
Aldeyra
Therapeutics,
Inc.
a
32,752
14,986
Alkermes
plc
a
419,758
144
Alnylam
Pharmaceuticals,
Inc.
a
25,502
11,101
Amgen,
Inc.
2,983,505
3,391
Amicus
Therapeutics,
Inc.
a
41,235
1,445
Amphastar
Pharmaceuticals,
Inc.
a
66,456
1,480
Anika
Therapeutics,
Inc.
a
27,572
3,954
Apellis
Pharmaceuticals,
Inc.
a
150,410
2,786
Argenx
SE
ADR
a
1,369,681
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
105
Shares
Common
Stock
(75.1%)
Value
Health
Care
(10.4%)
-
continued
4,629
Ascendis
Pharma
AS
ADR
a
$
433,460
71,800
Astellas
Pharma,
Inc.
993,829
37,921
AstraZeneca
plc
5,114,986
22,781
AstraZeneca
plc
ADR
1,542,729
1,583
Avanos
Medical,
Inc.
a
32,008
158,448
Avantor,
Inc.
a
3,340,084
7,763
Azenta,
Inc.
a
389,625
17,400
Baxter
International,
Inc.
656,676
25,394
Bayer
AG
1,219,532
10,487
Biogen,
Inc.
a
2,695,264
184
BioMarin
Pharmaceutical,
Inc.
a
16,280
956
BioMerieux
92,484
238
Bio-Rad
Laboratories,
Inc.
a
85,311
13,562
Bio-Techne
Corporation
923,165
427
Blueprint
Medicines
Corporation
a
21,444
1,299
Bruker
Corporation
80,928
6,027
Cardinal
Health,
Inc.
523,264
503
Cencora,
Inc.
90,525
840
Centene
Corporation
a
57,859
1,732
Charles
River
Laboratories
International,
Inc.
a
339,437
4,200
Chugai
Pharmaceutical
Company,
Ltd.
129,503
13,272
Cigna
Group
3,796,721
2,634
Codexis,
Inc.
a
4,978
3,918
Community
Health
Systems,
Inc.
a
11,362
2,428
Cooper
Companies,
Inc.
772,128
29,322
CSL,
Ltd.
4,723,866
24,122
CVS
Health
Corporation
1,684,198
12,100
Daiichi
Sankyo
Company,
Ltd.
331,266
17,142
Danaher
Corporation
4,252,930
4,309
Deciphera
Pharmaceuticals,
Inc.
a
54,811
19,365
Dentsply
Sirona,
Inc.
661,508
8,311
Dexcom,
Inc.
a
775,416
9,006
Dynavax
Technologies
Corporation
a
133,019
9,484
Edwards
Lifesciences
Corporation
a
657,052
56,217
Elanco
Animal
Health,
Inc.
a
631,879
8,975
Elevance
Health,
Inc.
3,907,895
850
Enanta
Pharmaceuticals,
Inc.
a
9,495
12,454
Enovis
Corporation
a
656,699
4,605
Exelixis,
Inc.
a
100,619
25,010
Fresenius
SE
&
Company
KGaA
776,816
2,655
Galenica
AG
b
196,140
626
Gerresheimer
AG
65,593
48,691
Gilead
Sciences,
Inc.
3,648,904
3,177
Globus
Medical,
Inc.
a
157,738
4,564
GoodRx
Holdings,
Inc.
a
25,695
68,402
GSK
plc
1,237,659
12,736
Halozyme
Therapeutics,
Inc.
a
486,515
9,778
HCA
Healthcare,
Inc.
2,405,192
5,866
Hikma
Pharmaceuticals
plc
148,957
1,102
Hologic,
Inc.
a
76,479
6,300
Hoya
Corporation
645,230
2,324
ICON
plc
a
572,285
116
IDEXX
Laboratories,
Inc.
a
50,723
8,658
Immunocore
Holdings
plc
ADR
a
449,350
13,404
Inmode,
Ltd.
a
408,286
1,801
Inspire
Medical
Systems,
Inc.
a
357,390
10,881
Intuitive
Surgical,
Inc.
a
3,180,408
815
IQVIA
Holding,
Inc.
a
160,351
1,663
Jazz
Pharmaceuticals,
Inc.
a
215,259
21,651
Johnson
&
Johnson
3,372,143
263
Kiniksa
Pharmaceuticals,
Ltd.
a
4,568
1,961
Kura
Oncology,
Inc.
a
17,884
Shares
Common
Stock
(75.1%)
Value
Health
Care
(10.4%)
-
continued
9,800
Kyowa
Hakko
Kirin
Company,
Ltd.
$
170,391
985
Laboratorios
Farmaceuticos
ROVI
SA
53,314
27,491
Laboratory
Corporation
of
America
Holdings
5,527,066
9,854
Lantheus
Holdings,
Inc.
a
684,656
63
Ligand
Pharmaceuticals,
Inc.
a
3,775
914
LivaNova
plc
a
48,332
1,077
LNA
Sante
28,125
81,043
Maravai
LifeSciences
Holdings,
Inc.
a
810,430
295
Masimo
Corporation
a
25,866
29
Medpace
Holdings,
Inc.
a
7,022
31,549
Medtronic
plc
2,472,180
45,378
Merck
&
Company,
Inc.
4,671,665
6,553
Merck
KGaA
1,092,433
8,437
Molina
Healthcare,
Inc.
a
2,766,408
2,062
Myriad
Genetics,
Inc.
a
33,074
6,289
Natera,
Inc.
a
278,288
1,886
National
HealthCare
Corporation
120,666
82,720
Novartis
AG
8,448,081
107,227
Novo
Nordisk
AS
9,763,154
30,556
Novo
Nordisk
AS
ADR
a
2,778,763
57,600
Olympus
Corporation
747,849
3,300
Ono
Pharmaceutical
Company,
Ltd.
63,289
1,984
OraSure
Technologies,
Inc.
a
11,765
3,085
Orion
Oyj
121,197
8,600
Otsuka
Holdings
Company,
Ltd.
305,344
2,452
Pacira
Pharmaceuticals,
Inc.
a
75,227
2,639
Pediatrix
Medical
Group,
Inc.
a
33,542
78,539
Pfizer,
Inc.
2,605,139
16,141
Phreesia,
Inc.
a
301,514
24,332
Point
Biopharma
Global,
Inc.
a
162,294
37,262
Progyny,
Inc.
a
1,267,653
2,798
Qiagen
NV
a
113,319
21,605
QIAGEN
NV
a
871,753
37,212
R1
RCM,
Inc.
a
560,785
59,514
Recordati
SPA
2,804,617
7,086
Repligen
Corporation
a
1,126,745
3,525
Revance
Therapeutics,
Inc.
a
40,432
4,894
Roche
Holding
AG,
Participation
Certificates
1,336,067
4,088
Rocket
Pharmaceuticals,
Inc.
a
83,763
1,747
Royalty
Pharma
plc
47,414
35,604
Sanofi
3,822,989
3,563
Sarepta
Therapeutics,
Inc.
a
431,907
32,495
scPharmaceuticals,
Inc.
a
231,364
1,863
Sensus
Healthcare,
Inc.
a
5,161
2,500
Shionogi
&
Company,
Ltd.
111,511
3,600
ShockWave
Medical,
Inc.
a
716,760
76
Siegfried
Holding
AG
64,914
1,702
Sonic
Healthcare,
Ltd.
32,500
55,400
Takeda
Pharmaceutical
Company,
Ltd.
1,717,207
1,854
Tecan
Group
AG
623,169
740
Teleflex,
Inc.
145,343
15,000
Terumo
Corporation
397,063
3,340
TG
Therapeutics,
Inc.
a
27,922
3,911
UCB
SA
320,347
12,523
UnitedHealth
Group,
Inc.
6,313,971
3,333
Universal
Health
Services,
Inc.
419,058
1,561
Vanda
Pharmaceuticals,
Inc.
a
6,744
5,553
Veeva
Systems,
Inc.
a
1,129,758
5,780
Veracyte,
Inc.
a
129,067
15,819
Vericel
Corporation
a
530,253
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
106
Shares
Common
Stock
(75.1%)
Value
Health
Care
(10.4%)
-
continued
4,661
Vor
BioPharma,
Inc.
a,c
$
9,881
1,027
West
Pharmaceutical
Services,
Inc.
385,341
1,501
Zentalis
Pharmaceuticals,
Inc.
a
30,110
21,394
Zimmer
Biomet
Holdings,
Inc.
2,400,835
23,563
Zoetis,
Inc.
4,099,491
Total
142,645,633
Industrials
(9.4%)
2,690
A.O.
Smith
Corporation
177,890
3,850
Aalberts
NV
140,481
1,086
Acuity
Brands,
Inc.
184,957
7,316
Advanced
Drainage
Systems,
Inc.
832,780
2,398
Aena
SME
SA
b
360,845
7,900
AGC,
Inc.
276,875
7,818
AGCO
Corporation
924,713
5,839
Air
Lease
Corporation
230,115
9,640
Alaska
Air
Group,
Inc.
a
357,451
506
American
Woodmark
Corporation
a
38,259
3,664
AMETEK,
Inc.
541,393
408
Apogee
Enterprises,
Inc.
19,209
2,935
Armstrong
World
Industries,
Inc.
211,320
14,870
ASGN,
Inc.
a
1,214,582
95,473
Assa
Abloy
AB
2,074,492
9,648
Atlas
Copco
AB,
Class
A
129,579
7,550
Atlas
Copco
AB,
Class
B
88,298
145,360
Aurizon
Holdings,
Ltd.
325,013
1,678
AZZ,
Inc.
76,483
17,964
Badger
Infrastructure
Solutions,
Ltd.
458,804
16,704
BAE
Systems
plc
202,986
979
Balfour
Beatty
plc
3,834
20,195
Barnes
Group,
Inc.
686,024
4,931
Beacon
Roofing
Supply,
Inc.
a
380,525
42
Boise
Cascade
Company
4,328
5,102
Booz
Allen
Hamilton
Holding
Corporation
557,495
79,546
Brambles,
Ltd.
730,753
2,717
Builders
FirstSource,
Inc.
a
338,239
10,956
Bunzl
plc
390,187
36,300
Canadian
National
Railway
Company
3,931,063
817
Cargotec
Oyj
34,155
11,034
Carlisle
Companies,
Inc.
2,860,675
6,489
Chart
Industries,
Inc.
a
1,097,420
35,508
Cia
de
Distribucion
Integral
Logista
Holdings
SA
907,402
138,500
CK
Hutchison
Holdings,
Ltd.
735,309
181,406
CNH
Industrial
NV
2,195,013
144
Columbus
McKinnon
Corporation
5,027
37,622
Compagnie
de
Saint-Gobain
SA
2,251,692
23,006
Computershare,
Ltd.
383,385
9,938
Conduent
Incorporated
a
34,584
1,102
CSW
Industrials,
Inc.
193,114
72,121
CSX
Corporation
2,217,721
2,024
Cummins,
Inc.
462,403
1,955
Curtiss-Wright
Corporation
382,457
4,400
Dai
Nippon
Printing
Company,
Ltd.
114,480
5,400
Daikin
Industries,
Ltd.
846,567
1,085
Daseke,
Inc.
a
5,566
72,138
Delta
Air
Lines,
Inc.
2,669,106
66,223
Deutsche
Lufthansa
AG
a
524,049
35,150
Deutsche
Post
AG
1,426,230
2,114
Donaldson
Company,
Inc.
126,079
29
Dover
Corporation
4,046
Shares
Common
Stock
(75.1%)
Value
Industrials
(9.4%)
-
continued
14,025
DSV
AS
$
2,613,429
15,852
Eiffage
SA
1,504,634
2,909
EMCOR
Group,
Inc.
612,024
1,984
Epiroc
AB,
Class
A
37,671
1,059
Epiroc
AB,
Class
B
16,941
214
Equifax,
Inc.
39,200
41,443
ExlService
Holdings,
Inc.
a
1,162,062
1,723
Expeditors
International
of
Washington,
Inc.
197,507
6,200
FANUC
Corporation
161,246
60,123
Fastenal
Company
3,285,121
2,142
Ferguson
plc
352,295
7,561
Finning
International,
Inc.
223,003
24,187
First
Advantage
Corporation
333,539
73,713
Flowserve
Corporation
2,931,566
563
Forrester
Research,
Inc.
a
16,271
3,605
Fortune
Brands
Innovations,
Inc.
224,087
1,916
Gates
Industrial
Corporation
plc
a
22,245
20,143
General
Dynamics
Corporation
4,450,999
1,561
Gibraltar
Industries,
Inc.
a
105,383
63
GMS,
Inc.
a
4,030
689
Griffon
Corporation
27,333
155,966
GWA
Group,
Ltd.
184,323
158
Heidrick
&
Struggles
International,
Inc.
3,953
7,360
Helios
Technologies,
Inc.
408,333
1,262
Herc
Holdings,
Inc.
150,102
4,025
Hillman
Solutions
Corporation
a
33,206
10,100
Hitachi,
Ltd.
625,974
11,401
Honeywell
International,
Inc.
2,106,221
44,115
Howmet
Aerospace,
Inc.
2,040,319
544
Hubbell,
Inc.
170,495
1,524
IDEX
Corporation
317,022
1,549
IMCD
NV
195,847
31,300
Inaba
Denki
Sangyo
Company,
Ltd.
676,917
4,481
Indutrade
AB
82,759
668
Ingersoll
Rand,
Inc.
42,565
1,876
Interface,
Inc.
18,404
6,500
ITOCHU
Corporation
234,741
51,942
Janus
International
Group,
Inc.
a
555,779
9,000
Jardine
Matheson
Holdings,
Ltd.
417,780
13,517
JB
Hunt
Transport
Services,
Inc.
2,548,225
9,889
JetBlue
Airways
Corporation
a
45,489
28,127
Johnson
Controls
International
plc
1,496,638
31,300
Kajima
Corporation
509,502
30,400
Kawasaki
Kisen
Kaisha,
Ltd.
c
1,037,427
3,244
Kennametal,
Inc.
80,711
24,900
Kinden
Corporation
362,137
1,400
Komatsu,
Ltd.
37,760
1,800
Kumagai
Gumi
Company,
Ltd.
42,424
15,580
L3Harris
Technologies,
Inc.
2,712,790
26,199
Legrand
SA
2,418,114
3,001
Lifco
AB
52,497
4,411
Lincoln
Electric
Holdings,
Inc.
801,876
1,600
Management
Solutions
Company,
Ltd.
29,995
6,513
Masco
Corporation
348,120
3,605
Masterbrand,
Inc.
a
43,801
1,264
Matson,
Inc.
112,142
11,000
MEITEC
Group
Holdings,
Inc.
198,938
9,383
Middleby
Corporation
a
1,201,024
17,700
Mitsubishi
Corporation
843,411
39,100
Mitsubishi
Electric
Corporation
483,060
9,900
Mitsui
&
Company,
Ltd.
359,072
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
107
Shares
Common
Stock
(75.1%)
Value
Industrials
(9.4%)
-
continued
1,855
MSC
Industrial
Direct
Company,
Inc.
$
182,068
451
MYR
Group,
Inc.
a
60,777
141
National
Presto
Industries,
Inc.
10,217
15,100
Nidec
Corporation
697,219
80,300
Nihon
M&A
Center
Holdings,
Inc.
385,917
3,500
Nippon
Express
Holdings,
Inc.
182,629
22,100
Nippon
Yusen
Kabushiki
Kaisha
573,823
15,100
Nitto
Kogyo
Corporation
361,890
6,484
Northrop
Grumman
Corporation
2,854,192
4,332
nVent
Electric
plc
229,553
2,094
Old
Dominion
Freight
Line,
Inc.
856,739
7,437
Oshkosh
Corporation
709,713
1,645
Otis
Worldwide
Corporation
132,110
5,884
Owens
Corning,
Inc.
802,636
7,376
PACCAR,
Inc.
627,107
14,187
PageGroup
plc
72,543
12,603
Parker-Hannifin
Corporation
4,909,121
611
Paycom
Software,
Inc.
158,414
680
Paylocity
Holding
Corporation
a
123,556
11,687
Pentair
plc
756,733
15,687
RB
Global,
Inc.
980,437
40,900
Recruit
Holdings
Company,
Ltd.
1,251,337
20,931
Redde
Northgate
plc
86,319
6,686
Regal
Rexnord
Corporation
955,296
96,810
RELX
plc
3,266,383
2,204
Republic
Services,
Inc.
314,092
1,930
Resideo
Technologies,
Inc.
a
30,494
9,293
Russel
Metals,
Inc.
260,129
2,566
Saia,
Inc.
a
1,022,936
296
Schindler
Holding
AG
56,953
6,166
Schindler
Holding
AG,
Participation
Certificates
1,228,266
3,106
Schneider
Electric
SE
511,845
23,300
Secom
Company,
Ltd.
1,580,691
12,600
Seino
Holdings
Company,
Ltd.
176,567
20,595
Sensata
Technologies
Holding
plc
778,903
20,209
Siemens
AG
2,888,043
4,055
Simpson
Manufacturing
Company,
Inc.
607,479
39,200
Singapore
Technologies
Engineering,
Ltd.
111,871
1,920
SiteOne
Landscape
Supply,
Inc.
a
313,824
4,430
SkyWest,
Inc.
a
185,794
1,900
SMC
Corporation
851,698
189
Snap-On,
Inc.
48,206
28,760
Southwest
Airlines
Company
778,533
1,791
Spirax-Sarco
Engineering
plc
207,315
2,990
Standex
International
Corporation
435,613
542
Sterling
Construction
Company,
Inc.
a
39,826
9,700
Sumitomo
Corporation
193,592
2,300
Taikisha,
Ltd.
69,491
2,600
Takara
Standard
Company,
Ltd.
32,194
2,872
Terex
Corporation
165,485
4,042
Textron,
Inc.
315,842
8,821
Thales
SA
1,239,731
7,754
Timken
Company
569,841
1,602
Titan
International,
Inc.
a
21,515
1,489
Titan
Machinery,
Inc.
a
39,578
22,900
TOPPAN
Holdings,
Inc.
547,799
13,612
Toromont
Industries,
Ltd.
1,108,603
2,395
Trane
Technologies
plc
485,969
12,056
TransUnion
865,500
2,514
Trex
Company,
Inc.
a
154,938
Shares
Common
Stock
(75.1%)
Value
Industrials
(9.4%)
-
continued
13,100
Tsubakimoto
Chain
Company
$
339,002
85,946
Uber
Technologies,
Inc.
a
3,952,656
32
UniFirst
Corporation/MA
5,216
24,592
United
Parcel
Service,
Inc.
3,833,155
3,300
United
Rentals,
Inc.
1,467,081
383
Valmont
Industries,
Inc.
92,000
1,863
Vertiv
Holdings
Company
69,304
5,183
Vinci
SA
573,401
6,336
Volvo
AB,
Class
B
130,507
3,179
Wabash
National
Corporation
67,140
24,822
WillScot
Mobile
Mini
Holdings
Corporation
a
1,032,347
403
Wolters
Kluwer
NV
48,793
6,800
Yuasa
Trading
Company,
Ltd.
187,885
Total
128,980,304
Information
Technology
(12.4%)
8,068
8x8,
Inc.
a
20,331
8,298
Adobe,
Inc.
a
4,231,150
41,016
Advanced
Micro
Devices,
Inc.
a
4,217,265
34,000
Advantest
Corporation
a
948,380
1,270
Alarm.com
Holdings,
Inc.
a
77,648
1,030
Alpha
and
Omega
Semiconductor,
Ltd.
a
30,735
500
American
Software,
Inc.
5,730
3,177
Amkor
Technology,
Inc.
71,800
14,879
Amphenol
Corporation
1,249,687
51,823
Apple,
Inc.
8,872,616
16,523
Applied
Materials,
Inc.
2,287,609
4,478
Arista
Networks,
Inc.
a
823,639
1,867
ASM
International
NV
779,646
10,660
ASML
Holding
NV
6,276,079
6,800
ASMPT,
Ltd.
60,586
32,509
Calix,
Inc.
a
1,490,213
53,800
Canon,
Inc.
1,295,969
499
CDW
Corporation
100,678
15,550
CGI,
Inc.
a
1,532,733
1,302
Ciena
Corporation
a
61,533
207,687
Cisco
Systems,
Inc.
11,165,253
17,028
Cognex
Corporation
722,668
156
Cognizant
Technology
Solutions
Corporation
10,567
9,862
CommScope
Holding
Company,
Inc.
a
33,136
7,242
CommVault
Systems,
Inc.
a
489,632
1,037
Corning,
Inc.
31,597
15,586
Crane
NXT
Company
866,114
31,178
Dassault
Systemes
SE
1,158,027
2,014
Datadog,
Inc.
a
183,455
8,326
Descartes
Systems
Group,
Inc.
a
610,962
2,565
DocuSign,
Inc.
a
107,730
4,759
Dolby
Laboratories,
Inc.
377,198
13,915
Dropbox,
Inc.
a
378,905
16,242
Dynatrace
Holdings,
LLC
a
758,989
718
Elastic
NV
a
58,330
6,923
Entegris,
Inc.
650,139
3,033
EPAM
Systems,
Inc.
a
775,508
321
F5,
Inc.
a
51,726
35
Fair
Isaac
Corporation
a
30,399
5,317
Five9,
Inc.
a
341,883
25,180
Flex,
Ltd.
a
679,356
29,107
Fortinet,
Inc.
a
1,707,999
9,100
Fuji
Soft,
Inc.
294,345
13,900
FUJIFILM
Holdings
NPV
804,123
11,100
Fujitsu,
Ltd.
1,305,483
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
108
Shares
Common
Stock
(75.1%)
Value
Information
Technology
(12.4%)
-
continued
17
Gartner,
Inc.
a
$
5,841
1,008
GoDaddy,
Inc.
a
75,076
37,319
Grid
Dynamics
Holdings,
Inc.
a
454,545
16,767
Guidewire
Software,
Inc.
a
1,509,030
21,649
Hackett
Group,
Inc.
510,700
76,755
Halma
plc
1,808,415
14,965
Hewlett
Packard
Enterprise
Company
259,942
50,897
Hexagon
AB
433,171
139
HP,
Inc.
3,572
1,669
HubSpot,
Inc.
a
821,983
46,352
Infineon
Technologies
AG
1,535,213
1,796
IPG
Photonics
Corporation
a
182,366
11,371
IRESS,
Ltd.
42,296
3,468
Jabil,
Inc.
440,055
1,310
JFrog,
Ltd.
a
33,222
25,578
Juniper
Networks,
Inc.
710,813
3,800
Keyence
Corporation
1,405,338
2,894
Keysight
Technologies,
Inc.
a
382,905
12,604
Knowles
Corporation
a
186,665
6,055
Kyndryl
Holdings,
Inc.
a
91,431
2,000
Kyocera
Corporation
101,395
900
Lam
Research
Corporation
564,093
16,981
Lattice
Semiconductor
Corporation
a
1,459,177
1,315
Littelfuse,
Inc.
325,226
4,191
LiveRamp
Holding,
Inc.
a
120,868
5,084
Marvell
Technology,
Inc.
275,197
1,815
MaxLinear,
Inc.
a
40,384
474
Microchip
Technology,
Inc.
36,996
87,579
Microsoft
Corporation
27,653,069
8,309
MKS
Instruments,
Inc.
719,061
2,224
Monolithic
Power
Systems,
Inc.
1,027,488
255
Motorola
Solutions,
Inc.
69,421
45,600
Murata
Manufacturing
Company,
Ltd.
a
831,843
2,433
NCR
Corporation
a
65,618
160
NetApp,
Inc.
12,141
3,572
NICE,
Ltd.
a
609,237
4,600
Nomura
Research
Institute,
Ltd.
119,562
223
Nova,
Ltd.
a
24,591
6,186
Nova,
Ltd.
a,c
695,554
89,400
NTT
Data
Group
Corporation
1,196,293
29,122
NVIDIA
Corporation
12,667,779
2,799
ON
Semiconductor
Corporation
a
260,167
160
OSI
Systems,
Inc.
a
18,886
16,841
PagerDuty,
Inc.
a
378,754
6,295
Palo
Alto
Networks,
Inc.
a
1,475,800
6,390
PDF
Solutions,
Inc.
a
207,036
10,990
PTC,
Inc.
a
1,557,063
4,832
Q2
Holdings,
Inc.
a
155,929
1,392
Qorvo,
Inc.
a
132,894
78,201
QUALCOMM,
Inc.
8,685,003
5,253
Rackspace
Technology,
Inc.
a,c
12,345
1,566
Rapid7,
Inc.
a
71,692
21,000
Renesas
Electronics
Corporation
a
320,774
737
Reply
SPA
69,154
2,128
RingCentral,
Inc.
a
63,053
44,000
Rohm
Company,
Ltd.
a
827,167
46,868
Sage
Group
plc
564,009
21,558
Salesforce,
Inc.
a
4,371,531
94,291
Samsung
Electronics
Company,
Ltd.
4,766,800
539
Sanmina
Corporation
a
29,257
17,441
SAP
SE
2,257,599
Shares
Common
Stock
(75.1%)
Value
Information
Technology
(12.4%)
-
continued
10,426
ServiceNow,
Inc.
a
$
5,827,717
29,500
Shopify,
Inc.
a
1,609,815
2,328
Silicon
Laboratories,
Inc.
a
269,792
3,246
Skyworks
Solutions,
Inc.
320,023
3,506
SolarWinds
Corporation
a
33,097
559
Sopra
Group
SA
115,399
2,431
Spectris
plc
100,502
1,622
Sprinklr,
Inc.
a
22,448
34,555
Sprout
Social,
Inc.
a
1,723,603
1,821
SPS
Commerce,
Inc.
a
310,681
47,690
STMicroelectronics
NV
2,056,540
3,084
Synopsys,
Inc.
a
1,415,463
2,484
TE
Connectivity,
Ltd.
306,849
2,926
Technology
One,
Ltd.
29,016
351
Teledyne
Technologies,
Inc.
a
143,412
3,759
Temenos
AG
262,906
3,147
Teradata
Corporation
a
141,678
91
Teradyne,
Inc.
9,142
15,727
Texas
Instruments,
Inc.
2,500,750
16,000
TIS,
Inc.
351,827
7,000
Tokyo
Electron,
Ltd.
956,146
2,200
Tokyo
Seimitsu
Company,
Ltd.
109,994
35,197
TTM
Technologies,
Inc.
a
453,337
9,322
Tyler
Technologies,
Inc.
a
3,599,597
10,277
Unisys
Corporation
a
35,456
2,240
Universal
Display
Corporation
351,658
4,128
Upland
Software,
Inc.
a
19,071
18,660
Varonis
Systems,
Inc.
a
569,876
1,998
Verint
Systems,
Inc.
a
45,934
2,008
VeriSign,
Inc.
a
406,680
6,928
Viavi
Solutions,
Inc.
a
63,322
7,429
Vishay
Intertechnology,
Inc.
183,645
8,025
Vontier
Corporation
248,133
7,864
Western
Digital
Corporation
a
358,834
9,154
Wolfspeed,
Inc.
a
348,767
8,815
Workiva,
Inc.
a
893,312
1,271
Xero,
Ltd.
a
91,408
1,412
Xerox
Holdings
Corporation
22,154
5,967
Yext,
Inc.
a
37,771
2,176
Zoom
Video
Communications,
Inc.
a
152,189
Total
170,257,980
Materials
(3.8%)
72,423
Acerinox
SA
699,839
16,101
Air
Liquide
SA
2,711,917
748
Albemarle
Corporation
127,190
14,199
Alcoa
Corporation
412,623
429
AptarGroup,
Inc.
53,642
22,523
ArcelorMittal
SA
563,887
1,458
Arkema
SA
143,527
73,200
Asahi
Kasei
Corporation
460,755
105,253
Axalta
Coating
Systems,
Ltd.
a
2,831,306
179,883
Barrick
Gold
Corporation
2,612,988
5,035
BASF
SE
227,909
12,793
Berry
Plastics
Group,
Inc.
792,015
132,892
BHP
Group,
Ltd.
3,733,049
110,916
BlueScope
Steel,
Ltd.
1,373,529
2,732
Buzzi
SpA
74,658
10,466
Celanese
Corporation
1,313,692
48,319
CF
Industries
Holdings,
Inc.
4,142,871
13,467
Cleveland-Cliffs,
Inc.
a
210,489
4,721
Commercial
Metals
Company
233,265
2,532
Eagle
Materials,
Inc.
421,629
26,701
Eastman
Chemical
Company
2,048,501
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
109
Shares
Common
Stock
(75.1%)
Value
Materials
(3.8%)
-
continued
31,363
Evraz
plc
a,d
$
4
122,900
Glencore
plc
699,860
80,050
Granges
AB
753,030
117
Hawkins,
Inc.
6,885
5,861
Heidelberg
Materials
AG
453,937
41,987
Hexpol
AB
372,028
38,877
Holcim
AG
2,488,474
5,913
Huntsman
Corporation
144,277
13,194
ICL
Group,
Ltd.
72,806
895
Ingevity
Corporation
a
42,611
2,651
Innospec,
Inc.
270,932
128
Israel
Corporation,
Ltd.
a
32,617
687
Kaiser
Aluminum
Corporation
51,704
30,600
Kyoei
Steel,
Ltd.
406,923
2,500
Lintec
Corporation
39,968
3,073
LSB
Industries,
Inc.
a
31,437
356
LyondellBasell
Industries
NV
33,713
1,843
Martin
Marietta
Materials,
Inc.
756,515
8,616
Mondi
plc
143,732
833
Myers
Industries,
Inc.
14,936
5,485
Newmont
Corporation
202,671
11,212
Norsk
Hydro
ASA
70,163
35,128
Nucor
Corporation
5,492,263
3,962
O-I
Glass,
Inc.
a
66,284
2,210
Orion
SA
47,029
751
PPG
Industries,
Inc.
97,480
81,365
Ranpak
Holdings
Corporation
a
442,626
430
Reliance
Steel
&
Aluminum
Company
112,759
30,566
Rio
Tinto
plc
1,919,327
16,786
Rio
Tinto,
Ltd.
1,210,739
10,304
RPM
International,
Inc.
976,922
1,523
Ryerson
Holding
Corporation
44,304
2,098
Schnitzer
Steel
Industries,
Inc.
58,429
22,400
Shin-Etsu
Chemical
Company,
Ltd.
650,623
5,868
Sika
AG
1,486,722
7,041
Solvay
SA
778,096
170,734
SSAB
AB,
Class
A
962,083
82,459
SSAB
AB,
Class
B
452,367
560
Steel
Dynamics,
Inc.
60,043
12,345
Summit
Materials,
Inc.
a
384,423
5,198
SunCoke
Energy,
Inc.
52,760
12,200
Taiyo
Holdings
Company,
Ltd.
208,942
1,936
TimkenSteel
Corporation
a
42,050
27,500
Toagosei
Company,
Ltd.
246,969
714
TriMas
Corporation
17,679
1,033
Trinseo
plc
8,440
29,502
Tronox
Holdings
plc
396,507
16,305
United
States
Steel
Corporation
529,586
1,567
Verallia
SA
b
61,637
704
Vidrala
SA
61,119
1,897
Vulcan
Materials
Company
383,232
5,287
West
Fraser
Timber
Company,
Ltd.
383,840
44,430
Yara
International
ASA
1,677,661
Total
51,591,445
Real
Estate
(2.0%)
18,141
Agree
Realty
Corporation
1,002,109
8,374
Apartment
Income
REIT
Corporation
257,082
11,767
AvalonBay
Communities,
Inc.
2,020,865
3,285
Azrieli
Group,
Ltd.
168,629
2,640
Camden
Property
Trust
249,691
1,821
CareTrust
REIT,
Inc.
37,330
29,696
CBRE
Group,
Inc.
a
2,193,347
Shares
Common
Stock
(75.1%)
Value
Real
Estate
(2.0%)
-
continued
1,596
Centerspace
$
96,175
3,409
Chatham
Lodging
Trust
32,624
11,633
Compass,
Inc.
a
33,736
19,081
CubeSmart
727,559
2,400
Daito
Trust
Construction
Company,
Ltd.
252,801
57,700
Daiwa
House
Industry
Company,
Ltd.
1,548,633
11,274
Dream
Industrial
REIT
106,577
630
EastGroup
Properties,
Inc.
104,914
10,470
Elme
Communities
142,811
8,255
EPR
Properties
342,913
26,913
Equity
Commonwealth
494,392
7,206
Equity
Residential
423,064
4,807
Essential
Properties
Realty
Trust,
Inc.
103,975
842
Essex
Property
Trust,
Inc.
178,580
4,108
Extra
Space
Storage,
Inc.
499,451
6,609
First
Industrial
Realty
Trust,
Inc.
314,522
3,290
FirstService
Corporation
478,827
11,003
Four
Corners
Property
Trust,
Inc.
244,157
2,417
Getty
Realty
Corporation
67,023
82,000
Hang
Lung
Properties,
Ltd.
112,189
172,554
Healthcare
Realty
Trust,
Inc.
2,634,900
33,000
Henderson
Land
Development
Company,
Ltd.
86,657
186,790
Host
Hotels
&
Resorts,
Inc.
3,001,715
1,432
Howard
Hughes
Holdings,
Inc.
a
106,154
23,000
Hysan
Development
Company,
Ltd.
44,526
13,439
Independence
Realty
Trust,
Inc.
189,087
6,695
InterRent
REIT
61,565
2,299
Kennedy-Wilson
Holdings,
Inc.
33,887
2,710
LEG
Immobilien
AG
a
186,359
867
LTC
Properties,
Inc.
27,857
27,176
LXP
Industrial
Trust
241,866
2,966
Mid-America
Apartment
Communities,
Inc.
381,576
9,327
NetSTREIT
Corporation
145,315
6,344
NNN
REIT,
Inc.
224,197
4,893
Nyfosa
AB
26,235
8,691
Pebblebrook
Hotel
Trust
118,111
11,011
PSP
Swiss
Property
AG
1,299,098
3,479
Realty
Income
Corporation
173,741
6,912
Regency
Centers
Corporation
410,849
14,790
Rexford
Industrial
Realty,
Inc.
729,887
807
RMR
Group,
Inc.
19,788
110,000
Road
King
Infrastructure,
Ltd.
a
24,744
11,443
Sabra
Health
Care
REIT,
Inc.
159,515
15,924
SBA
Communications
Corporation
3,187,507
21,201
Service
Properties
Trust
163,036
3,315
Simon
Property
Group,
Inc.
358,119
11,500
Sun
Hung
Kai
Properties,
Ltd.
122,704
36,500
Swire
Pacific,
Ltd.
245,846
1,488
Swiss
Prime
Site
AG
136,225
1,663
Terreno
Realty
Corporation
94,458
18,941
UDR,
Inc.
675,625
2,130
Welltower,
Inc.
174,490
34,270
Wing
Tai
Holdings,
Ltd.
35,097
Total
27,754,712
Utilities
(2.1%)
85,894
A2A
SPA
152,659
2,061
AES
Corporation
31,327
8,141
Alliant
Energy
Corporation
394,431
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
110
Shares
Common
Stock
(75.1%)
Value
Utilities
(2.1%)
-
continued
5,557
American
Electric
Power
Company,
Inc.
$
417,998
1,617
Artesian
Resources
Corporation
67,898
20,087
ATCO,
Ltd.
508,738
912
Avista
Corporation
29,521
4,398
Black
Hills
Corporation
222,495
10,696
Boralex,
Inc.
229,788
45,337
Canadian
Utilities,
Ltd.
957,977
9,992
Capital
Power
Corporation
278,959
5,000
Chugoku
Electric
Power
Company,
Inc.
30,712
15,000
CK
Infrastructure
Holdings,
Ltd.
70,775
250
Clearway
Energy,
Inc.
4,980
43,297
Constellation
Energy
Corporation
4,722,837
38,501
Contact
Energy,
Ltd.
185,497
4,737
DTE
Energy
Company
470,289
33,162
Duke
Energy
Corporation
2,926,878
99,228
E.ON
SE
1,173,471
2,611
Edison
International
165,250
27,900
EDP
-
Energias
de
Portugal
SA
116,007
410,206
Enel
SPA
2,515,689
19,044
Engie
SA
292,062
24,749
Entergy
Corporation
2,289,283
7,215
Evergy,
Inc.
365,801
28,203
Fortis,
Inc.
1,071,226
71,223
Hera SPA
194,488
36,057
Iren
SpA
69,328
133,426
Italgas
SPA
682,639
473
NextEra
Energy
Partners,
LP
c
14,048
55,758
NiSource,
Inc.
1,376,107
10,385
NorthWestern
Corporation
499,103
25,368
OGE
Energy
Corporation
845,515
4,370
Pinnacle
West
Capital
Corporation
321,982
7,667
Portland
General
Electric
Company
310,360
35,968
Public
Service
Enterprise
Group,
Inc.
2,046,939
16,016
RWE
AG
594,511
26,185
Superior
Plus
Corporation
197,797
16,675
TransAlta
Corporation
145,235
685
TransAlta
Renewables,
Inc.
6,198
23,293
UGI
Corporation
535,739
10,323
Veolia
Environnement
SA
298,398
3,688
Verbund
AG
300,025
Total
28,130,960
Total
Common
Stock
(cost
$859,376,633)
1,027,670,663
Shares
Registered
Investment
Companies
(
5
.6
%
)
Value
U.S.
Affiliated  (4.7%)
4,382,832
Thrivent
Core
Emerging
Markets
Equity
Fund
36,465,158
3,095,001
Thrivent
Core
Small
Cap
Value
Fund
27,855,005
Total
64,320,163
U.S.
Unaffiliated  (0.9%)
7,743
Communication
Services
Select
Sector
SPDR
Fund
507,709
3,145
Invesco
QQQ
Trust
Series
1
1,126,759
22,554
SPDR
S&P
500
ETF
Trust
9,641,384
11,203
SPDR
S&P
Biotech
ETF
818,043
Shares
Registered
Investment
Companies
(5.6%)
Value
U.S.
Unaffiliated  (0.9%)-
continued
1,189
SPDR
S&P
Oil
&
Gas
Exploration
ETF
$
175,865
Total
12,269,760
Total
Registered
Investment
Companies
(cost
$82,832,376)
76,589,923
Shares
Collateral
Held
for
Securities
Loaned
(
0
.2
%
)
Value
1,735,315
Thrivent
Cash
Management
Trust
1,735,315
Total
Collateral
Held
for
Securities
Loaned
(cost
$1,735,315)
1,735,315
Shares
Preferred
Stock
(
<0.1%
)
Value
Consumer
Discretionary
(<0.1%)
1,414
Bayerische
Motoren
Werke
AG
131,616
Total
131,616
Total
Preferred
Stock
(cost
$99,498)
131,616
Shares
or
Principal
Amount
Short-Term
Investments
(
19
.2
%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
29,325,000
5.164%,
10/2/2023
e
29,325,000
15,000,000
5.270%,
10/6/2023
e
14,991,459
8,000,000
5.260%,
10/11/2023
e
7,989,494
5,000,000
5.273%,
10/13/2023
e
4,992,174
14,000,000
5.280%,
10/18/2023
e
13,968,139
5,500,000
5.270%,
10/19/2023
e
5,486,702
10,000,000
5.280%,
10/20/2023
e
9,974,401
800,000
5.270%,
10/25/2023
e,f
797,384
1,700,000
5.284%,
11/15/2023
e,f
1,689,372
100,000
5.298%,
11/17/2023
e,f
99,347
6,600,000
5.300%,
12/6/2023
e,f
6,538,969
2,500,000
5.308%,
12/13/2023
e,f
2,474,405
4,100,000
5.315%,
12/15/2023
e,f
4,056,865
U.S.
Treasury
Bills
32,800,000
5.263%,
10/3/2023
e
32,795,206
50,000,000
5.270%,
10/5/2023
e
49,978,041
10,000,000
5.275%,
10/10/2023
e
9,988,311
38,000,000
5.273%,
10/12/2023
e
37,944,293
15,000,000
5.282%,
10/17/2023
e
14,967,047
15,000,000
5.280%,
10/19/2023
e
14,962,529
Total
Short-Term
Investments
(cost
$262,934,300)
263,019,138
Total
Investments
(cost
$1,206,978,122)
100.1%
$
1,369,146,655
Other
Assets
and
Liabilities,
Net
(0.1%)
(
959,153
)
Total
Net
Assets
100.0%
$
1,368,187,502
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
111
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$4,235,950
or
0.3%
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.
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
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
1,674,772
Total
lending
$1,674,772
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$1,735,315
Net
amounts
due
to
counterparty
$60,543
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
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
66,842,929
52,517,676
14,325,253
Consumer
Discretionary
116,126,352
72,519,952
43,606,400
Consumer
Staples
59,183,536
36,472,407
22,711,129
Energy
65,655,274
43,489,783
22,165,491
Financials
170,501,538
108,459,311
62,042,227
Health
Care
142,645,633
94,074,458
48,571,175
Industrials
128,980,304
80,071,787
48,908,517
Information
Technology
170,257,980
134,816,014
35,441,966
Materials
51,591,445
23,355,720
28,235,721
4
Real
Estate
27,754,712
23,296,827
4,457,885
Utilities
28,130,960
18,058,781
10,072,179
Registered
Investment
Companies
U.S.
Unaffiliated
12,269,760
12,269,760
Preferred
Stock
Consumer
Discretionary
131,616
131,616
Short-Term
Investments
263,019,138
263,019,138
Subtotal
Investments
in
Securities
$
1,303,091,177
$
699,402,476
$
603,688,697
$
4
Other
Investments  *
Total
U.S.
Affiliated
Registered
Investment
Cos.
64,320,163
Collateral
Held
for
Securities
Loaned
1,735,315
Subtotal
Other
Investments
$
66,055,478
Total
Investments
at
Value
$
1,369,146,655
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
112
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
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Global
Stock
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
4,409,437
4,409,437
Total
Asset
Derivatives
$
4,409,437
$
4,409,437
$
$
Liability
Derivatives
Futures
Contracts
14,058,099
14,058,099
Total
Liability
Derivatives
$
14,058,099
$
14,058,099
$
$
The
following
table
presents
Global
Stock
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$15,656,342
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CME
E-mini
S&P
500
Index
1,327
December
2023
$
298,943,173
(
$
11,946,248
)
ICE
mini
MSCI
EAFE
Index
606
December
2023
63,629,660
(
1,772,210
)
ICE
US
mini
MSCI
Emerging
Markets
Index
281
December
2023
13,764,416
(
339,641
)
Total
Futures
Long
Contracts
$
376,337,249
(
$
14,058,099
)
CME
E-mini
Russell
2000
Index
(
696
)
December
2023
(
$
65,304,241
)
$
2,712,961
CME
E-mini
S&P
Mid-Cap
400
Index
(
201
)
December
2023
(
52,356,516
)
1,696,476
Total
Futures
Short
Contracts
(
$
117,660,757
)
$
4,409,437
Total
Futures
Contracts
$
258,676,492
(
$
9,648,662
)
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
113
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$
35,589
$
$
$
36,465
4,383
2.7%
Core
Small
Cap
Value
28,288
27,855
3,095
2.0
Total
U.S.
Affiliated
Registered
Investment
Companies
63,877
64,320
4.7
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1,205
60,989
60,459
1,735
1,735
0.2
Total
Collateral
Held
for
Securities
Loaned
1,205
1,735
0.2
Total
Value
$
65,082
$
66,055
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$–
$876
$
$
Core
Small
Cap
Value
Fund
(433)
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
71
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
71
Total
Value
$–
$443
$
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
114
Principal
Amount
Long-Term
Fixed
Income
(
98
.5
%
)
Value
Asset-Backed
Securities
(5.7%)
Cascade
Funding
Mortgage
Trust,
LLC
$
635,989
0.985%, 
11/25/2050,
Ser.
2021-EBO1,
Class
A
a,b
$
580,982
635,908
0.801%, 
2/25/2031,
Ser.
2021-HB5,
Class
A
a,b
620,792
1,116,190
1.151%, 
10/27/2031,
Ser.
2021-HB7,
Class
A
a,b
1,064,754
ECMC
Group
Student
Loan
Trust
384,570
6.429%, 
(SOFR30A
+
1.114%),
1/27/2070,
Ser.
2020-3A,
Class
A1B
a,b
378,653
Finance
of
America
HECM
Buyout
461,637
2.695%, 
2/25/2032,
Ser.
2022-HB1,
Class
A
a,b
434,211
GMAC
Mortgage
Corporation
Loan
Trust
27,572
5.934%, 
(TSFR1M
+
0.614%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,c
15,283
Goodgreen
896,525
3.860%, 
10/15/2054,
Ser.
2019-1A,
Class
A
a
803,248
Kentucky
Higher
Education
Student
Loan
Corporation
Student
Loan
Rev.
1,134,972
1.650%, 
3/25/2051,
Ser.
2021-1
1,011,365
Missouri
Higher
Education
Loan
Auth.
1,038,591
1.530%, 
1/25/2061,
Ser.
2021-1
851,317
1,286,231
6.134%, 
(TSFR1M
+
0.700%),
3/25/2061,
Ser.
2021-2
b
1,267,327
Navient
Student
Loan
Trust
1,108,751
1.310%, 
12/26/2069,
Ser.
2021-1A,
Class
A1A
a
923,196
New
Hampshire
Higher
Education
Loan
Corporation
561,402
6.634%, 
(TSFR1M
+
1.314%),
9/25/2060,
Ser.
2020-1,
Class
A1B
b
563,185
Preferred
Term
Securities
XXIII,
Ltd./Preferred
Term
Securities
XXIII,
Inc.
32,687
5.871%, 
(LIBOR
3M
+
0.200%),
12/22/2036,
Ser.
A-FP
a,b
32,438
RMF
Buyout
Issuance
Trust
469,946
1.259%, 
11/25/2031,
Ser.
2021-HB1,
Class
A
a,b
449,365
SLM
Student
Loan
Trust
210,728
5.829%, 
(SOFR30A
+
0.514%),
3/25/2025,
Ser.
2010-1,
Class
A
b
202,832
Total
9,198,948
Collateralized
Mortgage
Obligations
(15.2%)
Federal
Agricultural
Mortgage
Corporation
Real
Estate
Trust
1,707,396
2.180%, 
1/25/2051,
Ser.
2021-1,
Class
A
a,b,c
1,311,416
Principal
Amount
Long-Term
Fixed
Income
(98.5%)
Value
Collateralized
Mortgage
Obligations
(15.2%)
-
continued
$
1,656,372
2.631%, 
1/25/2052,
Ser.
2023-1,
Class
A
a,b,c
$
1,314,036
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
189,246
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
178,541
1,543,651
1.500%, 
3/25/2050,
Ser.
4982,
Class
JA
1,131,612
1,552,059
4.000%, 
8/25/2052,
Ser.
5256,
Class
AY
1,360,708
117,258
2.000%, 
1/15/2041,
Ser.
4074,
Class
JA
110,571
639,694
1.750%, 
6/15/2042,
Ser.
4097,
Class
QN
540,035
450,756
1.750%, 
12/15/2042,
Ser.
4141,
Class
KM
366,042
579,205
3.000%, 
5/15/2045,
Ser.
4631,
Class
PA
520,307
449,239
3.000%, 
3/15/2047,
Ser.
4734,
Class
JA
399,082
730,741
3.500%, 
8/15/2047,
Ser.
4860,
Class
CA
675,088
1,350,000
3.000%, 
9/25/2048,
Ser.
5210,
Class
GD
959,235
1,700,000
2.500%, 
12/15/2048,
Ser.
5094,
Class
BC
1,259,207
867,433
2.000%, 
9/25/2049,
Ser.
4906,
Class
KE
697,459
Federal
Home
Loan
Mortgage
Corporation
-
SCRT
734,262
3.250%, 
6/25/2057,
Ser.
2017-4,
Class
HT
c
638,175
1,114,010
3.000%, 
8/25/2056,
Ser.
2017-2,
Class
HA
c
993,266
1,118,016
2.500%, 
8/25/2059,
Ser.
2020-1,
Class
MT
c
872,171
1,248,199
2.500%, 
9/25/2060,
Ser.
2021-1,
Class
MTU
c
962,993
1,237,216
2.000%, 
11/25/2059,
Ser.
2020-2,
Class
MT
c
938,335
1,089,920
2.500%, 
11/25/2060,
Ser.
2021-2,
Class
MTU
c
841,098
Federal
Home
Loan
Mortgage
Corporation
-
SLST
971,029
2.000%, 
9/25/2030,
Ser.
2020-2,
Class
A1C
c
845,479
1,800,000
2.250%, 
5/26/2031,
Ser.
2021-1,
Class
A2C
c
1,394,633
Federal
National
Mortgage
Association
-
REMIC
764,968
4.500%, 
6/25/2052,
Ser.
2022-43,
Class
MA
728,882
446,688
4.000%, 
7/25/2052,
Ser.
2022-37,
Class
PE
420,177
353,914
2.000%, 
11/25/2032,
Ser.
2012-123,
Class
BA
316,067
1,336,878
3.000%, 
12/25/2039,
Ser.
2014-81,
Class
ZH
1,132,671
319,679
3.000%, 
6/25/2042,
Ser.
2016-24,
Class
LJ
305,453
382,722
3.000%, 
1/25/2043,
Ser.
2013-114,
Class
AB
351,708
467,918
3.250%, 
6/25/2043,
Ser.
2013-60,
Class
PT
414,325
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
115
Principal
Amount
Long-Term
Fixed
Income
(98.5%)
Value
Collateralized
Mortgage
Obligations
(15.2%)
-
continued
$
739,578
4.500%, 
1/25/2046,
Ser.
2022-68,
Class
BA
$
714,882
409,055
3.000%, 
3/25/2046,
Ser.
2016-66,
Class
PA
359,415
101,488
3.500%, 
12/25/2047,
Ser.
2018-41,
Class
PB
93,743
NewRez
Warehouse
Securitization
Trust
1,516,667
6.184%, 
(TSFR1M
+
0.864%),
5/25/2055,
Ser.
2021-1,
Class
A
a,b
1,510,071
Total
24,656,883
Commercial
Mortgage-Backed
Securities
(6.8%)
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
1,600,000
3.000%, 
6/25/2032,
Ser.
K147,
Class
A2
b,c
1,348,667
1,700,000
3.500%, 
7/25/2032,
Ser.
K148,
Class
A2
b,c
1,490,116
1,600,000
3.530%, 
8/25/2032,
Ser.
K149,
Class
A2
c
1,403,788
3,000,000
3.800%, 
10/25/2032,
Ser.
K-151,
Class
A2
b,c
2,683,181
300,000
3.820%, 
12/25/2032,
Ser.
K-153,
Class
A2
b,c
268,338
500,000
4.350%, 
1/25/2033,
Ser.
K-154,
Class
A2
b,c
466,007
1,600,000
4.200%, 
5/25/2033,
Ser.
K-157,
Class
A2
c
1,471,580
Federal
Home
Loan
Mortgage
Corporation
Multifamily
WI
Certificates
550,000
4.500%, 
11/25/2033,
Ser.
K159,
Class
A2
517,462
1,500,000
4.500%, 
12/25/2033,
Ser.
K160,
Class
A2
1,404,822
Total
11,053,961
Mortgage-Backed
Securities
(36.4%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
1,701,719
3.000%, 
2/1/2050
1,424,760
1,273,293
2.500%, 
5/1/2051
1,016,153
669,066
3.500%, 
5/1/2052
576,154
917,698
4.000%, 
5/1/2052
823,618
2,451,514
3.500%, 
6/1/2052
2,112,617
61,388
5.000%, 
7/1/2053
58,110
927,708
3.500%, 
8/1/2052
802,814
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
335,873
2.500%, 
7/1/2030
306,151
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
1,074,217
3.500%, 
5/1/2040
954,308
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,178,244
3.000%, 
1/1/2052
1,813,385
Principal
Amount
Long-Term
Fixed
Income
(98.5%)
Value
Mortgage-Backed
Securities
(36.4%)
-
continued
$
80,100
2.000%, 
2/1/2051
$
61,350
41,665
2.000%, 
2/1/2051
31,863
1,345,862
2.500%, 
2/1/2051
1,076,301
810,410
2.500%, 
2/1/2051
649,399
2,209,800
2.000%, 
3/1/2051
1,688,880
2,253,629
3.000%, 
3/1/2052
1,868,955
1,102,086
2.000%, 
4/1/2051
842,173
1,328,185
3.000%, 
4/1/2051
1,102,687
4,764,867
2.000%, 
4/1/2052
3,644,616
1,369,892
3.000%, 
5/1/2050
1,146,207
82,677
2.000%, 
5/1/2051
63,054
1,172,662
3.000%, 
5/1/2051
985,854
931,803
3.000%, 
6/1/2050
787,092
2,079,727
2.500%, 
7/1/2051
1,660,179
469,477
3.500%, 
7/1/2051
410,517
820,456
3.500%, 
8/1/2050
718,174
815,994
3.500%, 
9/1/2052
705,539
1,273,616
4.500%, 
9/1/2053
1,170,743
1,386,490
4.000%, 
10/1/2052
1,238,426
95,197
2.000%, 
11/1/2051
72,690
355,056
2.000%, 
12/1/2050
271,953
2,230,132
2.500%, 
12/1/2051
1,782,014
4,368,040
4.500%, 
12/1/2052
4,028,327
1,800,000
6.000%, 
10/1/2041
d
1,776,375
1,950,000
4.000%, 
10/1/2048
d
1,735,957
2,175,000
4.500%, 
10/1/2048
d
1,996,922
40,000
5.000%, 
10/1/2048
d
37,738
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
1,621,171
2.500%, 
3/1/2062
1,244,178
563,585
3.500%, 
7/1/2061
479,336
703,366
4.000%, 
12/1/2061
626,423
Government
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
700,000
4.500%, 
10/1/2053
d
646,652
8,550,000
5.000%, 
10/1/2053
d
8,101,793
6,750,000
5.500%, 
10/1/2053
d
6,550,137
Total
59,090,574
U.S.
Government
&
Agencies
(34.4%)
Federal
Farm
Credit
Bank
1,250,000
1.320%, 
3/18/2030
1,005,005
Federal
Home
Loan
Bank
2,050,000
5.900%, 
3/10/2043
1,964,697
Tennessee
Valley
Authority
1,115,000
5.250%, 
9/15/2039
1,090,794
U.S.
Treasury
Bonds
1,265,000
1.375%, 
8/15/2050
617,280
700,000
3.875%, 
2/15/2043
609,219
4,180,000
2.500%, 
5/15/2046
2,799,784
3,500,000
2.875%, 
5/15/2049
2,496,758
U.S.
Treasury
Notes
6,850,000
2.250%, 
11/15/2024
6,617,207
1,300,000
4.250%, 
12/31/2024
1,282,480
4,400,000
0.250%, 
8/31/2025
4,014,828
525,000
2.625%, 
1/31/2026
498,319
8,000,000
4.625%, 
3/15/2026
7,944,375
2,000,000
3.750%, 
4/15/2026
1,945,313
1,000,000
0.625%, 
11/30/2027
848,008
10,450,000
3.625%, 
3/31/2028
10,018,121
5,340,000
2.625%, 
2/15/2029
4,830,614
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
116
Principal
Amount
Long-Term
Fixed
Income
(98.5%)
Value
U.S.
Government
&
Agencies
(34.4%)
-
continued
$
3,530,000
1.500%, 
2/15/2030
$
2,926,039
3,325,000
3.500%, 
2/15/2033
3,050,688
1,325,000
3.875%, 
8/15/2033
1,251,918
Total
55,811,447
Total
Long-Term
Fixed
Income
(cost
$176,692,927)
159,811,813
Shares
or
Principal
Amount
Short-Term
Investments
(
14
.1
%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
400,000
5.300%,
12/6/2023
e,f
396,301
Thrivent
Core
Short-Term
Reserve
Fund
2,220,358
5.650%
22,203,581
U.S.
Treasury
Bills
300,000
5.307%,
12/14/2023
e,g
296,776
Total
Short-Term
Investments
(cost
$22,874,735)
22,896,658
Total
Investments
(cost
$199,567,662)
112.6%
$
182,708,471
Other
Assets
and
Liabilities,
Net
(12.6%)
(
20,483,323
)
Total
Net
Assets
100.0%
$
162,225,148
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$9,423,162
or
5.8%
of
total
net
assets.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
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
security
is
insured
or
guaranteed.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
The
interest
rate
shown
reflects
the
yield.
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.
g
At
September
29,
2023,
$286,883
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
Definitions:
HECM
-
Home
Equity
Conversion
Mortgage
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
SCRT
-
Seasoned
Credit
Risk
Transfer
Ser.
-
Series
SLST
-
Seasoned
Loans
Structured
Transactions
Reference
Rate
Index:
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
TSFR1M
-
CME
Term
SOFR
1
Month
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
117
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
9,198,948
9,198,948
Collateralized
Mortgage
Obligations
24,656,883
24,656,883
Commercial
Mortgage-Backed
Securities
11,053,961
11,053,961
Mortgage-Backed
Securities
59,090,574
59,090,574
U.S.
Government
&
Agencies
55,811,447
55,811,447
Short-Term
Investments
693,077
693,077
Subtotal
Investments
in
Securities
$
160,504,890
$
$
160,504,890
$
Other
Investments  *
Total
Affiliated
Short-Term
Investments
22,203,581
Subtotal
Other
Investments
$
22,203,581
Total
Investments
at
Value
$
182,708,471
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Government
Bond
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
73,289
73,289
Total
Asset
Derivatives
$
73,289
$
73,289
$
$
Liability
Derivatives
Futures
Contracts
298,064
298,064
Total
Liability
Derivatives
$
298,064
$
298,064
$
$
The
following
table
presents
Government
Bond
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$396,301
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
10
December
2023
$
1,103,621
(
$
22,997
)
CBOT
2-Yr.
U.S.
Treasury
Note
25
December
2023
5,090,300
(
22,526
)
CBOT
5-Yr.
U.S.
Treasury
Note
122
December
2023
12,994,064
(
140,219
)
CBOT
U.S.
Long
Bond
17
December
2023
2,046,603
(
112,322
)
Total
Futures
Long
Contracts
$
21,234,588
(
$
298,064
)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
(
8
)
December
2023
(
$
1,022,789
)
$
73,289
Total
Futures
Short
Contracts
(
$
1,022,789
)
$
73,289
Total
Futures
Contracts
$
20,211,799
(
$
224,775
)
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
118
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
18,252
$
62,729
$
58,777
$
22,204
2,220
13.7%
Total
Affiliated
Short-Term
Investments
18,252
22,204
13.7
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
214
109
323
Total
Collateral
Held
for
Securities
Loaned
214
Total
Value
$
18,466
$
22,204
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$16
($16)
$
$
625
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
625
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
0
Total
Value
$16
($16)
$
Healthcare
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
119
a
Shares
Common
Stock
(
99
.7
%
)
Value
Biotechnology
(15.4%)
79,970
AbbVie,
Inc.
$
11,920,328
20,083
Amgen,
Inc.
5,397,507
16,440
Biogen,
Inc.
a
4,225,244
113,641
Gilead
Sciences,
Inc.
8,516,257
46,523
Halozyme
Therapeutics,
Inc.
a
1,777,179
6,139
Regeneron
Pharmaceuticals,
Inc.
a
5,052,152
12,110
Vertex
Pharmaceuticals,
Inc.
a
4,211,131
Total
41,099,798
Consumer
Staples
(0.4%)
55,762
Kenvue,
Inc.
1,119,701
Total
1,119,701
Health
Care
Distributors
(1.5%)
12,843
Cencora,
Inc.
2,311,355
3,922
McKesson
Corporation
1,705,481
Total
4,016,836
Health
Care
Equipment
(16.2%)
101,897
Abbott
Laboratories
9,868,724
7,266
ABIOMED,
Inc.,
CVR
a,b
6,670
29,962
Baxter
International,
Inc.
1,130,766
82,773
Boston
Scientific
Corporation
a
4,370,414
38,144
Dexcom,
Inc.
a
3,558,835
21,107
Edwards
Lifesciences
Corporation
a
1,462,293
35,833
Envista
Holdings
Corporation
a
999,024
4,295
IDEXX
Laboratories,
Inc.
a
1,878,075
25,609
Intuitive
Surgical,
Inc.
a
7,485,255
38,324
Medtronic
plc
3,003,069
22,051
QuidelOrtho
Corporation
a
1,610,605
4,824
ShockWave
Medical,
Inc.
a
960,458
9,183
Stryker
Corporation
2,509,438
37,571
Zimmer
Biomet
Holdings,
Inc.
4,216,218
Total
43,059,844
Health
Care
Facilities
(2.4%)
17,499
HCA
Healthcare,
Inc.
4,304,404
15,817
Universal
Health
Services,
Inc.
1,988,671
Total
6,293,075
Health
Care
Services
(5.1%)
5,970
Cigna
Group
1,707,838
102,495
CVS
Health
Corporation
7,156,201
12,601
Laboratory
Corporation
of
America
Holdings
2,533,431
10,292
Quest
Diagnostics,
Inc.
1,254,183
64,141
R1
RCM,
Inc.
a
966,605
Total
13,618,258
Health
Care
Supplies
(2.3%)
6,943
Align
Technology,
Inc.
a
2,119,837
8,838
Cooper
Companies,
Inc.
2,810,572
16,383
Lantheus
Holdings,
Inc.
a
1,138,291
Total
6,068,700
Life
Sciences
Tools
&
Services
(10.7%)
95,331
Avantor,
Inc.
a
2,009,577
35,766
Bio-Techne
Corporation
2,434,592
48,448
Danaher
Corporation
12,019,949
14,875
IQVIA
Holding,
Inc.
a
2,926,656
939
Mettler-Toledo
International,
Inc.
a
1,040,478
16,065
Thermo
Fisher
Scientific,
Inc.
8,131,621
Total
28,562,873
Shares
Common
Stock
(99.7%)
Value
Managed
Health
Care
(14.6%)
21,824
Elevance
Health,
Inc.
$
9,502,606
9,302
Molina
Healthcare,
Inc.
a
3,050,033
30,082
Progyny,
Inc.
a
1,023,390
50,395
UnitedHealth
Group,
Inc.
25,408,655
Total
38,984,684
Pharmaceuticals
(31.1%)
48,946
AstraZeneca
plc
ADR
3,314,623
34,930
Eli
Lilly
&
Company
18,761,951
7,256
Jazz
Pharmaceuticals,
Inc.
a
939,217
143,849
Johnson
&
Johnson
22,404,482
155,382
Merck
&
Company,
Inc.
15,996,577
36,510
Novo
Nordisk
AS
ADR
a
3,320,219
330,101
Pfizer,
Inc.
10,949,450
40,796
Zoetis,
Inc.
7,097,688
Total
82,784,207
Total
Common
Stock
(cost
$215,509,425)
265,607,976
Shares
Short-Term
Investments
(
0
.3
%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
88,357
5.650%
883,573
Total
Short-Term
Investments
(cost
$883,573)
883,573
Total
Investments
(cost
$216,392,998)
100.0%
$
266,491,549
Other
Assets
and
Liabilities,
Net
(<0.1%)
(
107,861
)
Total
Net
Assets
100.0%
$
266,383,688
a
Non-income
producing
security.
b
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CVR
-
Contingent
Value
Right
plc
-
Public
Limited
Company
Healthcare
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
120
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Healthcare
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Biotechnology
41,099,798
41,099,798
Consumer
Staples
1,119,701
1,119,701
Health
Care
Distributors
4,016,836
4,016,836
Health
Care
Equipment
43,059,844
43,053,174
6,670
Health
Care
Facilities
6,293,075
6,293,075
Health
Care
Services
13,618,258
13,618,258
Health
Care
Supplies
6,068,700
6,068,700
Life
Sciences
Tools
&
Services
28,562,873
28,562,873
Managed
Health
Care
38,984,684
38,984,684
Pharmaceuticals
82,784,207
82,784,207
Subtotal
Investments
in
Securities
$
265,607,976
$
265,601,306
$
$
6,670
Other
Investments  *
Total
Affiliated
Short-Term
Investments
883,573
Subtotal
Other
Investments
$
883,573
Total
Investments
at
Value
$
266,491,549
*
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
the
table
above
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
Healthcare
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
9,908
$
31,082
$
40,106
$
884
88
0.3%
Total
Affiliated
Short-Term
Investments
9,908
884
0.3
Total
Value
$
9,908
$
884
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$3
($3)
$
$
176
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
176
Total
Value
$3
($3)
$
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
121
Principal
Amount
Bank
Loans
(
3.3%
)
a
Value
Basic
Materials
(0.4%)
Grinding
Media,
Inc.,
Term
Loan
$
3,368,260
9.530%, 
(TSFR1M
+
4.000%),
10/12/2028
b,c
$
3,334,578
Total
3,334,578
Capital
Goods
(0.2%)
Brand
Industrial
Services,
Inc.,
Term
Loan
1,596,000
10.872%, 
(TSFR1M
+
5.500%),
8/1/2030
b
1,552,605
Total
1,552,605
Communications
Services
(1.1%)
Cengage
Learning,
Inc.,
Term
Loan
1,558,857
10.323%, 
(TSFR3M
+
4.750%),
7/14/2026
b
1,549,504
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
795,000
9.130%, 
(TSFR3M
+
3.500%),
8/23/2026
b
770,816
DIRECTV
Financing,
LLC,
Term
Loan
2,939,700
10.431%, 
(TSFR1M
+
5.000%),
8/2/2027
b
2,869,471
Gogo
Intermediate
Holdings,
LLC,
Term
Loan
739,777
9.181%, 
(TSFR3M
+
3.750%),
4/30/2028
b
737,269
NEP
Group,
Inc.,
Term
Loan
2,756,693
8.681%, 
(TSFR1M
+
3.250%),
10/20/2025
b
2,658,499
Total
8,585,559
Consumer
Cyclical
(0.2%)
Staples,
Inc.,
Term
Loan
1,657,734
10.634%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
1,418,888
Total
1,418,888
Consumer
Non-Cyclical
(0.4%)
Alltech
,
Inc.,
Term
Loan
1,534,383
9.431%, 
(TSFR1M
+
4.000%),
10/15/2028
b
1,478,762
Amneal
Pharmaceuticals,
LLC,
Term
Loan
1,057,195
8.931%, 
(TSFR1M
+
3.500%),
5/4/2025
b
1,036,051
City
Brewing
Company,
LLC,
Term
Loan
1,277,193
9.070%, 
(TSFR3M
+
3.500%),
4/5/2028
b
833,368
Total
3,348,181
Energy
(0.2%)
GIP
II
Blue
Holding,
LP,
Term
Loan
1,113,358
9.931%, 
(TSFR3M
+
4.500%),
9/29/2028
b
1,114,749
Total
1,114,749
Principal
Amount
Bank
Loans
(3.3%)
a
Value
Technology
(0.3%)
CoreLogic
,
Inc.,
Term
Loan
$
1,558,200
8.931%, 
(TSFR1M
+
3.500%),
6/2/2028
b
$
1,436,785
Rackspace
Technology
Global,
Inc.,
Term
Loan
1,511,250
8.194%, 
(TSFR3M
+
2.750%),
2/9/2028
b
679,126
Total
2,115,911
Transportation
(0.5%)
AAdvantage
Loyalty
IP,
Ltd.,
Term
Loan
2,489,000
10.338%, 
(TSFR3M
+
4.750%),
4/20/2028
b
2,561,181
Air
Canada,
Term
Loan
1,007,250
9.128%, 
(TSFR3M
+
3.500%),
8/11/2028
b
1,007,038
Total
3,568,219
Total
Bank
Loans
(cost
$26,641,766)
25,038,690
Principal
Amount
Long-Term
Fixed
Income
(
88.5%
)
Value
Basic
Materials
(5.4%)
ACN
113
874
712,
Pty.
Ltd.
3,195,300
11.500%, 
2/15/2018
*,
d,e
3,195
Alcoa
Nederland
Holding
BV
5,000
5.500%, 
12/15/2027
f
4,749
ATI,
Inc.
1,539,000
7.250%, 
8/15/2030
1,527,457
Cascades,
Inc./Cascades
USA,
Inc.
1,066,000
5.125%, 
1/15/2026
f
1,020,433
Chemours
Company
2,790,000
5.750%, 
11/15/2028
f
2,421,440
Cleveland-Cliffs,
Inc.
1,600,000
4.625%, 
3/1/2029
f
1,393,704
1,075,000
4.875%, 
3/1/2031
f
915,420
Consolidated
Energy
Finance
SA
4,014,000
5.625%, 
10/15/2028
f
3,316,567
First
Quantum
Minerals,
Ltd.
1,065,000
6.875%, 
3/1/2026
f
1,033,780
2,020,000
6.875%, 
10/15/2027
f
1,937,942
Hecla
Mining
Company
895,000
7.250%, 
2/15/2028
865,904
Hudbay
Minerals,
Inc.
675,000
4.500%, 
4/1/2026
f
631,514
Illuminate
Buyer,
LLC/Illuminate
Holdings
IV,
Inc.
1,674,000
9.000%, 
7/1/2028
f
1,581,007
Mercer
International,
Inc.
791,000
5.500%, 
1/15/2026
742,952
Methanex
Corporation
2,000,000
4.250%, 
12/1/2024
1,946,554
Mineral
Resources,
Ltd.
471,000
9.250%, 
10/1/2028
f
475,710
Novelis
Corporation
870,000
3.250%, 
11/15/2026
f
776,994
2,050,000
4.750%, 
1/30/2030
f
1,774,172
670,000
3.875%, 
8/15/2031
f
535,052
OCI
NV
2,971,000
4.625%, 
10/15/2025
f
2,808,942
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
122
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Basic
Materials
(5.4%)
-
continued
Olin
Corporation
$
2,820,000
5.625%, 
8/1/2029
g
$
2,653,393
SCIL
IV,
LLC/SCIL
USA
Holdings,
LLC
2,313,000
5.375%, 
11/1/2026
f
2,113,432
SNF
Group
SACA
1,074,000
3.125%, 
3/15/2027
f
950,611
1,133,000
3.375%, 
3/15/2030
f
914,447
SunCoke
Energy,
Inc.
2,307,000
4.875%, 
6/30/2029
f
1,960,316
Taseko
Mines,
Ltd.
2,750,000
7.000%, 
2/15/2026
f
2,568,856
Unifrax
Escrow
Issuer
Corporation
1,878,000
5.250%, 
9/30/2028
f
1,337,408
United
States
Steel
Corporation
2,355,000
6.875%, 
3/1/2029
2,315,095
Total
40,527,046
Capital
Goods
(11.4%)
Abengoa
Abenewco
2
Bis
SA,
Convertible
3,963,663
0.000%,PIK
1.500%,
4/26/2024
*,
d,e,h
19,818
Advanced
Drainage
Systems,
Inc.
2,260,000
5.000%, 
9/30/2027
f
2,111,245
AECOM
1,885,000
5.125%, 
3/15/2027
1,785,291
Amsted
Industries,
Inc.
2,615,000
5.625%, 
7/1/2027
f
2,464,673
2,240,000
4.625%, 
5/15/2030
f
1,896,696
ARD
Finance
SA
1,700,000
6.500%, 
6/30/2027
f
1,282,550
Ardagh
Packaging
Finance
plc/
Ardagh
Holdings
USA,
Inc.
3,108,000
5.250%, 
8/15/2027
f
2,593,610
Berry
Global,
Inc.
1,704,000
4.500%, 
2/15/2026
f
1,614,707
Bombardier,
Inc.
2,070,000
7.875%, 
4/15/2027
f
2,019,796
2,250,000
6.000%, 
2/15/2028
f,g
2,041,191
Builders
FirstSource
,
Inc.
1,070,000
5.000%, 
3/1/2030
f
954,020
Canpack
SA/
Canpack
US,
LLC
1,330,000
3.125%, 
11/1/2025
f
1,226,900
Chart
Industries,
Inc.
2,241,000
7.500%, 
1/1/2030
f
2,253,281
Clean
Harbors,
Inc.
3,330,000
5.125%, 
7/15/2029
f
3,063,287
Clydesdale
Acquisition
Holdings,
Inc.
297,000
6.625%, 
4/15/2029
f
276,147
594,000
8.750%, 
4/15/2030
f
509,450
Cornerstone
Building
Brands,
Inc.
1,534,000
6.125%, 
1/15/2029
f
1,162,916
Covanta
Holding
Corporation
965,000
4.875%, 
12/1/2029
f
791,686
CP
Atlas
Buyer,
Inc.
1,915,000
7.000%, 
12/1/2028
f
1,501,622
Crown
Cork
&
Seal
Company,
Inc.
1,875,000
7.375%, 
12/15/2026
1,903,125
Emerald
Debt
Merger
Sub,
LLC
2,400,000
6.625%, 
12/15/2030
f
2,310,419
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Capital
Goods
(11.4%)
-
continued
GFL
Environmental,
Inc.
$
4,440,000
4.000%, 
8/1/2028
f
$
3,879,524
H&E
Equipment
Services,
Inc.
5,130,000
3.875%, 
12/15/2028
f
4,380,477
Herc
Holdings,
Inc.
5,135,000
5.500%, 
7/15/2027
f
4,855,935
Howmet
Aerospace,
Inc.
3,405,000
3.000%, 
1/15/2029
2,882,194
Mauser
Packaging
Solutions
Holding
Company
1,237,000
9.250%, 
4/15/2027
f
1,081,243
MIWD
Holdco
II,
LLC
969,000
5.500%, 
2/1/2030
f
800,631
Mueller
Water
Products,
Inc.
1,300,000
4.000%, 
6/15/2029
f
1,132,177
Nesco
Holdings
II,
Inc.
2,240,000
5.500%, 
4/15/2029
f
1,965,602
New
Enterprise
Stone
and
Lime
Company,
Inc.
3,153,000
5.250%, 
7/15/2028
f
2,829,093
OI
European
Group
BV
2,725,000
4.750%, 
2/15/2030
f
2,370,357
Owens-Brockway
Glass
Container,
Inc.
1,217,000
6.625%, 
5/13/2027
f
1,186,431
Pactiv
Evergreen
Group
1,670,000
4.375%, 
10/15/2028
f
1,448,992
PGT
Innovations,
Inc.
2,199,000
4.375%, 
10/1/2029
f
2,027,661
Roller
Bearing
Company
of
America,
Inc.
1,672,000
4.375%, 
10/15/2029
f
1,438,191
Sealed
Air
Corporation
1,214,000
6.125%, 
2/1/2028
f
1,175,784
Silgan
Holdings,
Inc.
897,000
4.125%, 
2/1/2028
802,501
SRM
Escrow
Issuer,
LLC
3,730,000
6.000%, 
11/1/2028
f
3,444,510
TransDigm
,
Inc.
4,275,000
6.250%, 
3/15/2026
f
4,200,532
430,000
5.500%, 
11/15/2027
402,630
787,000
6.750%, 
8/15/2028
f
774,793
640,000
4.625%, 
1/15/2029
558,957
1,815,000
4.875%, 
5/1/2029
1,594,645
Triumph
Group,
Inc.
1,570,000
9.000%, 
3/15/2028
f
1,552,426
Trivium
Packaging
Finance
1,210,000
5.500%, 
8/15/2026
f
1,128,244
530,000
8.500%, 
8/15/2027
f
484,359
United
Rentals
North
America,
Inc.
1,700,000
3.875%, 
2/15/2031
1,414,068
WESCO
Distribution,
Inc.
2,635,000
7.250%, 
6/15/2028
f
2,647,784
Total
86,242,171
Communications
Services
(11.2%)
Allen
Media,
LLC/Allen
Media
Co-
Issuer,
Inc.
1,898,000
10.500%, 
2/15/2028
f
1,085,599
Altice
Financing
SA
1,125,000
5.750%, 
8/15/2029
f
921,976
Altice
France
SA/France
1,380,000
5.125%, 
7/15/2029
f
981,050
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
123
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Communications
Services
(11.2%)
-
continued
$
3,179,000
5.500%, 
10/15/2029
f
$
2,286,067
AMC
Networks,
Inc.
900,000
5.000%, 
4/1/2024
887,572
1,790,000
4.250%, 
2/15/2029
1,098,336
C&W
Senior
Financing
DAC
525,000
6.875%, 
9/15/2027
f
461,647
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
3,265,000
5.000%, 
2/1/2028
f
2,965,071
3,380,000
5.375%, 
6/1/2029
f
3,032,564
1,029,000
6.375%, 
9/1/2029
f
959,507
3,610,000
4.750%, 
3/1/2030
f
3,030,419
1,916,000
4.250%, 
2/1/2031
f
1,525,210
843,000
4.750%, 
2/1/2032
f
674,400
Cimpress
plc
1,535,000
7.000%, 
6/15/2026
1,436,622
Clear
Channel
Outdoor
Holdings,
Inc.
461,000
7.500%, 
6/1/2029
f,g
352,496
Clear
Channel
Worldwide
Holdings,
Inc.
2,767,000
5.125%, 
8/15/2027
f
2,457,075
Connect
Finco
SARL/Connect
US
Finco
,
LLC
1,287,000
6.750%, 
10/1/2026
f
1,200,382
CSC
Holdings,
LLC
2,925,000
5.375%, 
2/1/2028
f
2,381,277
1,493,000
6.500%, 
2/1/2029
f
1,236,855
2,365,000
4.125%, 
12/1/2030
f
1,673,744
DIRECTV
Financing,
LLC/DIRECTV
Financing
Co-Obligor,
Inc.
965,000
5.875%, 
8/15/2027
f
853,234
DISH
DBS
Corporation
759,000
5.875%, 
11/15/2024
706,468
1,308,000
5.250%, 
12/1/2026
f
1,111,605
749,000
7.375%, 
7/1/2028
471,937
1,271,000
5.750%, 
12/1/2028
f
977,081
1,144,000
5.125%, 
6/1/2029
634,211
Frontier
Communications
Holdings,
LLC
898,000
5.875%, 
10/15/2027
f
816,702
1,590,000
5.000%, 
5/1/2028
f
1,357,578
869,000
6.750%, 
5/1/2029
f
668,589
561,000
8.750%, 
5/15/2030
f
532,656
GCI,
LLC
3,550,000
4.750%, 
10/15/2028
f
3,061,875
Gray
Escrow
II,
Inc.
5,506,000
5.375%, 
11/15/2031
f
3,603,331
Iliad
Holding
SASU
2,654,000
6.500%, 
10/15/2026
f
2,493,467
Lamar
Media
Corporation
1,222,000
3.625%, 
1/15/2031
995,148
LCPR
Senior
Secured
Financing
DAC
3,707,000
6.750%, 
10/15/2027
f
3,404,879
Level
3
Financing,
Inc.
1,945,000
4.625%, 
9/15/2027
f
1,398,780
2,090,000
4.250%, 
7/1/2028
f
1,302,140
1,050,000
10.500%, 
5/15/2030
f
1,056,917
McGraw-Hill
Education,
Inc.
1,064,000
5.750%, 
8/1/2028
f
917,966
165,000
8.000%, 
8/1/2029
f,g
143,137
News
Corporation
1,794,000
3.875%, 
5/15/2029
f
1,542,840
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Communications
Services
(11.2%)
-
continued
Outfront
Media
Capital,
LLC/
Outfront
Media
Capital
Corporation
$
1,383,000
6.250%, 
6/15/2025
f
$
1,354,960
918,000
4.625%, 
3/15/2030
f,g
721,649
Playtika
Holding
Corporation
1,843,000
4.250%, 
3/15/2029
f
1,538,905
Radiate
Holdco,
LLC/Radiate
Finance,
Inc.
1,055,000
6.500%, 
9/15/2028
f
553,875
Scripps
Escrow
II,
Inc.
852,000
3.875%, 
1/15/2029
f
640,736
Sirius
XM
Radio,
Inc.
720,000
3.125%, 
9/1/2026
f
641,700
365,000
5.000%, 
8/1/2027
f
333,391
1,660,000
4.000%, 
7/15/2028
f
1,416,923
890,000
3.875%, 
9/1/2031
f
674,140
Sprint
Corporation
6,590,000
7.625%, 
2/15/2025
6,686,570
TEGNA,
Inc.
2,422,000
4.625%, 
3/15/2028
2,095,030
Telecom
Italia
Capital
SA
275,000
6.000%, 
9/30/2034
229,290
Telecom
Italia
SPA/Milano
476,000
5.303%, 
5/30/2024
f
467,998
Telesat
Canada/
Telesat
,
LLC
1,025,000
4.875%, 
6/1/2027
f
664,208
465,000
6.500%, 
10/15/2027
f
237,150
United
States
Cellular
Corporation
1,811,000
6.700%, 
12/15/2033
1,761,198
Uniti
Group,
LP/
Uniti
Group
Finance,
Inc./CSL
Capital,
LLC
2,392,000
4.750%, 
4/15/2028
f
1,953,265
Univision
Communications,
Inc.
1,562,000
6.625%, 
6/1/2027
f
1,454,732
VZ
Secured
Financing
BV
2,221,000
5.000%, 
1/15/2032
f
1,744,716
YPSO
Finance
BIS
SA
851,000
10.500%, 
5/15/2027
f
530,753
Total
84,399,599
Consumer
Cyclical
(17.1%)
1011778
B.C.,
ULC/New
Red
Finance,
Inc.
4,415,000
4.375%, 
1/15/2028
f
3,979,452
1,525,000
4.000%, 
10/15/2030
f
1,267,235
Adient
Global
Holdings,
Ltd.
1,212,000
4.875%, 
8/15/2026
f
1,143,086
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation
1,545,000
6.625%, 
7/15/2026
f
1,463,949
1,060,000
6.000%, 
6/1/2029
f
790,217
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation/
Atlas
Luxco
4
SARL
1,125,000
4.625%, 
6/1/2028
f
937,530
1,160,000
4.625%, 
6/1/2028
f
963,028
Allison
Transmission,
Inc.
1,299,000
3.750%, 
1/30/2031
f
1,050,113
American
Axle
&
Manufacturing,
Inc.
2,055,000
6.500%, 
4/1/2027
1,951,078
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
124
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Consumer
Cyclical
(17.1%)
-
continued
Arko
Corporation
$
1,358,000
5.125%, 
11/15/2029
f
$
1,095,281
Ashton
Woods
USA,
LLC/Ashton
Woods
Finance
Company
800,000
4.625%, 
8/1/2029
f
675,092
1,410,000
4.625%, 
4/1/2030
f
1,154,218
Boyd
Gaming
Corporation
2,210,000
4.750%, 
6/15/2031
f
1,880,657
Boyne
USA,
Inc.
824,000
4.750%, 
5/15/2029
f
720,716
Brookfield
Residential
Properties,
Inc./Brookfield
Residential
US,
LLC
135,000
6.250%, 
9/15/2027
f
121,543
1,825,000
5.000%, 
6/15/2029
f
1,502,104
350,000
4.875%, 
2/15/2030
f
284,648
Caesars
Entertainment,
Inc.
3,114,000
6.250%, 
7/1/2025
f
3,071,378
1,420,000
8.125%, 
7/1/2027
f
1,426,769
2,919,000
4.625%, 
10/15/2029
f
2,472,568
Carnival
Corporation
797,000
7.625%, 
3/1/2026
f
775,309
2,212,000
5.750%, 
3/1/2027
f
2,002,356
937,000
4.000%, 
8/1/2028
f
812,451
Cedar
Fair,
LP
3,070,000
5.250%, 
7/15/2029
g
2,668,139
Churchill
Downs,
Inc.
1,065,000
4.750%, 
1/15/2028
f
960,674
899,000
6.750%, 
5/1/2031
f
849,555
Cinemark
USA,
Inc.
2,546,000
5.875%, 
3/15/2026
f,g
2,444,468
Clarios
Global,
LP/
Clarios
US
Finance
Company,
Inc.
1,060,000
8.500%, 
5/15/2027
f,g
1,056,959
2,335,000
6.750%, 
5/15/2028
f
2,279,544
Ford
Motor
Company
3,271,000
3.250%, 
2/12/2032
2,520,840
1,800,000
6.100%, 
8/19/2032
1,695,443
Ford
Motor
Credit
Company,
LLC
2,243,000
2.300%, 
2/10/2025
2,103,860
2,230,000
4.134%, 
8/4/2025
2,114,226
3,120,000
3.375%, 
11/13/2025
2,894,786
390,000
2.700%, 
8/10/2026
348,023
1,700,000
7.350%, 
3/6/2030
1,721,553
Goodyear
Tire
&
Rubber
Company
1,790,000
5.000%, 
7/15/2029
g
1,541,765
Guitar
Center
Escrow
Issuer
II,
Inc.
600,000
8.500%, 
1/15/2026
f,g
521,106
Hanesbrands,
Inc.
1,900,000
4.875%, 
5/15/2026
f,g
1,741,845
Hilton
Domestic
Operating
Company,
Inc.
1,194,000
4.875%, 
1/15/2030
1,086,632
1,395,000
3.625%, 
2/15/2032
f
1,124,643
Hilton
Grand
Vacations
Borrower
Escrow,
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
Inc.
1,912,000
5.000%, 
6/1/2029
f
1,658,557
International
Game
Technology
plc
1,530,000
6.250%, 
1/15/2027
f
1,497,581
835,000
5.250%, 
1/15/2029
f
769,462
Jacobs
Entertainment,
Inc.
1,182,000
6.750%, 
2/15/2029
f
1,049,025
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Consumer
Cyclical
(17.1%)
-
continued
Jaguar
Land
Rover
Automotive
plc
$
2,469,000
5.500%, 
7/15/2029
f
$
2,110,984
KB
Home
1,880,000
6.875%, 
6/15/2027
1,880,105
L
Brands,
Inc.
1,775,000
5.250%, 
2/1/2028
1,642,681
2,485,000
6.625%, 
10/1/2030
f
2,329,712
1,030,000
6.875%, 
11/1/2035
919,876
Light
&
Wonder
International,
Inc.
2,970,000
7.250%, 
11/15/2029
f
2,910,600
Live
Nation
Entertainment,
Inc.
1,560,000
4.750%, 
10/15/2027
f,g
1,428,375
Macy's
Retail
Holdings,
LLC
2,370,000
5.875%, 
4/1/2029
f,g
2,075,148
Mattamy
Group
Corporation
1,800,000
4.625%, 
3/1/2030
f
1,531,943
Michaels
Companies,
Inc.
1,385,000
5.250%, 
5/1/2028
f,g
1,105,368
NCL
Corporation,
Ltd.
404,000
3.625%, 
12/15/2024
f
387,967
1,132,000
5.875%, 
3/15/2026
f
1,045,111
1,708,000
5.875%, 
2/15/2027
f
1,624,254
Nissan
Motor
Company,
Ltd.
473,000
3.522%, 
9/17/2025
f
446,728
460,000
4.345%, 
9/17/2027
f
419,888
423,000
4.810%, 
9/17/2030
f
364,835
Nordstrom,
Inc.
825,000
4.250%, 
8/1/2031
g
598,311
OPENLANE,
Inc.
268,000
5.125%, 
6/1/2025
f
259,279
PENN
Entertainment,
Inc.
1,390,000
4.125%, 
7/1/2029
f,g
1,135,887
PetSmart,
Inc./PetSmart
Finance
Corporation
1,592,000
4.750%, 
2/15/2028
f
1,393,698
3,550,000
7.750%, 
2/15/2029
f
3,308,204
Prime
Security
Services
Borrower,
LLC/Prime
Finance,
Inc.
3,584,000
5.750%, 
4/15/2026
f
3,477,083
1,790,000
3.375%, 
8/31/2027
f
1,568,214
1,641,000
6.250%, 
1/15/2028
f
1,519,843
Realogy
Group,
LLC/Realogy
Group
Co-Issuer
Corporation
3,305,000
5.750%, 
1/15/2029
f
2,389,350
Royal
Caribbean
Cruises,
Ltd.
3,737,000
4.250%, 
7/1/2026
f
3,426,424
1,300,000
5.375%, 
7/15/2027
f
1,203,152
793,000
9.250%, 
1/15/2029
f
837,755
Scientific
Games
Holdings,
LP/
Scientific
Games
US
FinCo
,
Inc.
584,000
6.625%, 
3/1/2030
f
503,700
SeaWorld
Parks
and
Entertainment,
Inc.
1,373,000
5.250%, 
8/15/2029
f
1,206,043
Six
Flags
Theme
Parks,
Inc.
483,000
7.000%, 
7/1/2025
f
481,776
Staples,
Inc.
716,000
10.750%, 
4/15/2027
f
420,328
Station
Casinos,
LLC
800,000
4.500%, 
2/15/2028
f
697,864
700,000
4.625%, 
12/1/2031
f
559,918
Tenneco,
Inc.
1,551,000
8.000%, 
11/17/2028
f
1,262,126
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
125
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Consumer
Cyclical
(17.1%)
-
continued
Tripadvisor
,
Inc.
$
441,000
7.000%, 
7/15/2025
f
$
440,162
Uber
Technologies,
Inc.
1,500,000
6.250%, 
1/15/2028
f
1,466,797
VICI
Properties,
LP/VICI
Note
Company,
Inc.
2,600,000
5.750%, 
2/1/2027
f
2,516,976
2,050,000
3.750%, 
2/15/2027
f
1,860,197
Viking
Cruises,
Ltd.
2,671,000
5.875%, 
9/15/2027
f
2,437,822
Wabash
National
Corporation
2,173,000
4.500%, 
10/15/2028
f
1,830,452
WASH
Multifamily
Acquisition,
Inc.
1,055,000
5.750%, 
4/15/2026
f
985,106
Wyndham
Hotels
&
Resorts,
Inc.
1,500,000
4.375%, 
8/15/2028
f
1,347,274
ZF
North
America
Capital,
Inc.
1,053,000
6.875%, 
4/14/2028
f
1,030,334
Total
128,577,114
Consumer
Non-Cyclical
(12.3%)
1375209
B.C.,
Ltd.
1,482,000
9.000%, 
1/30/2028
f
1,464,917
AdaptHealth
,
LLC
2,805,000
4.625%, 
8/1/2029
f
2,152,853
Albertson's
Companies,
Inc.
3,850,000
5.875%, 
2/15/2028
f
3,705,543
Albertsons
Companies,
Inc./
Safeway,
Inc./New
Albertsons,
LP/Albertsons,
LLC
1,650,000
4.625%, 
1/15/2027
f
1,557,960
1,911,000
3.500%, 
3/15/2029
f
1,629,291
Aramark
Services,
Inc.
2,102,000
5.000%, 
2/1/2028
f
1,944,000
B&G
Foods,
Inc.
1,656,000
5.250%, 
4/1/2025
1,625,070
887,000
5.250%, 
9/15/2027
742,837
1,258,000
8.000%, 
9/15/2028
f
1,259,716
Bausch
&
Lomb
Escrow
Corporation
472,000
8.375%, 
10/1/2028
f
473,402
Bausch
Health
Companies,
Inc.
850,000
5.500%, 
11/1/2025
f
752,769
2,446,000
4.875%, 
6/1/2028
f
1,391,006
1,898,000
11.000%, 
9/30/2028
f
1,287,698
BellRing
Brands,
Inc.
1,257,000
7.000%, 
3/15/2030
f
1,237,717
Catalent
Pharma
Solutions,
Inc.
1,530,000
3.125%, 
2/15/2029
f
1,254,898
Central
Garden
&
Pet
Company
2,690,000
4.125%, 
10/15/2030
2,242,691
Cheplapharm
Arzneimittel
GmbH
290,000
5.500%, 
1/15/2028
f
263,126
Chobani
,
LLC/
Chobani
Finance
Corporation,
Inc.
2,183,000
4.625%, 
11/15/2028
f
1,925,362
CHS/Community
Health
Systems,
Inc.
2,108,000
5.625%, 
3/15/2027
f
1,808,062
455,000
6.000%, 
1/15/2029
f
367,449
492,000
5.250%, 
5/15/2030
f
374,007
1,769,000
4.750%, 
2/15/2031
f
1,251,957
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Consumer
Non-Cyclical
(12.3%)
-
continued
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US,
LLC
$
1,944,000
4.750%, 
1/15/2029
f
$
1,753,041
1,533,000
6.625%, 
7/15/2030
f
1,496,729
Edgewell
Personal
Care
Company
1,500,000
5.500%, 
6/1/2028
f
1,385,625
Embecta
Corporation
1,200,000
5.000%, 
2/15/2030
f
936,000
Encompass
Health
Corporation
3,700,000
4.500%, 
2/1/2028
3,371,133
Energizer
Holdings,
Inc.
2,670,000
4.750%, 
6/15/2028
f
2,306,020
Fortrea
Holdings,
Inc.
1,200,000
7.500%, 
7/1/2030
f
1,167,618
Grifols
SA
2,149,000
4.750%, 
10/15/2028
f
1,832,259
Herbalife
Nutrition,
Ltd./HLF
Financing,
Inc.
1,050,000
7.875%, 
9/1/2025
f
1,000,860
HLF
Financing
SARL,
LLC/
Herbalife
International,
Inc.
2,690,000
4.875%, 
6/1/2029
f
1,909,900
Jazz
Securities
DAC
1,190,000
4.375%, 
1/15/2029
f
1,037,542
Lamb
Weston
Holdings,
Inc.
1,020,000
4.125%, 
1/31/2030
f
872,252
Legacy
LifePoint
Health,
LLC
921,000
4.375%, 
2/15/2027
f
792,060
LifePoint
Health,
Inc.
650,000
11.000%, 
10/15/2030
f
650,000
Mattel,
Inc.
2,665,000
3.375%, 
4/1/2026
f
2,464,324
1,250,000
5.875%, 
12/15/2027
f
1,215,097
ModivCare
Escrow
Issuer,
Inc.
775,000
5.000%, 
10/1/2029
f
556,062
ModivCare
,
Inc.
620,000
5.875%, 
11/15/2025
f
589,347
Mozart
Debt
Merger
Sub,
Inc.
1,953,000
3.875%, 
4/1/2029
f
1,651,110
1,322,000
5.250%, 
10/1/2029
f,g
1,142,600
Organon
&
Company/
Organon
Foreign
Debt
Co-Issuer
BV
2,638,000
4.125%, 
4/30/2028
f
2,292,181
1,257,000
5.125%, 
4/30/2031
f
1,007,300
Owens
&
Minor,
Inc.
2,074,000
6.625%, 
4/1/2030
f,g
1,840,851
Perrigo
Finance
Unlimited
Company
1,822,000
4.375%, 
3/15/2026
1,703,609
Pilgrim's
Pride
Corporation
1,544,000
3.500%, 
3/1/2032
1,193,979
Post
Holdings,
Inc.
1,800,000
4.500%, 
9/15/2031
f
1,498,128
Primo
Water
Holdings,
Inc.
1,810,000
4.375%, 
4/30/2029
f
1,547,550
RegionalCare
Hospital
Partners
Holdings,
Inc./
LifePoint
Health,
Inc.
921,000
9.750%, 
12/1/2026
f
891,629
SEG
Holding,
LLC
3,430,000
5.625%, 
10/15/2028
f
3,438,575
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
126
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Consumer
Non-Cyclical
(12.3%)
-
continued
Simmons
Foods,
Inc.
$
1,808,000
4.625%, 
3/1/2029
f
$
1,483,148
Spectrum
Brands,
Inc.
2,120,000
5.000%, 
10/1/2029
f
1,920,932
770,000
5.500%, 
7/15/2030
f
698,157
1,572,000
3.875%, 
3/15/2031
f
1,275,395
Star
Parent,
Inc.
1,573,000
9.000%, 
10/1/2030
f
1,589,521
Tenet
Healthcare
Corporation
4,345,000
5.125%, 
11/1/2027
4,043,608
1,900,000
6.750%, 
5/15/2031
f
1,832,494
Teva
Pharmaceutical
Finance
Netherlands
III
BV
4,396,000
3.150%, 
10/1/2026
3,918,025
TreeHouse
Foods,
Inc.
2,354,000
4.000%, 
9/1/2028
1,909,682
Total
92,926,674
Energy
(12.5%)
Antero
Midstream
Partners,
LP/
Antero
Midstream
Finance
Corporation
797,000
5.375%, 
6/15/2029
f
729,723
Antero
Resources
Corporation
407,000
5.375%, 
3/1/2030
f
374,712
Archrock
Partners,
LP/
Archrock
Partners
Finance
Corporation
930,000
6.250%, 
4/1/2028
f
865,853
Baytex
Energy
Corporation
1,219,000
8.500%, 
4/30/2030
f
1,233,417
Buckeye
Partners,
LP
925,000
4.125%, 
12/1/2027
812,775
1,730,000
4.500%, 
3/1/2028
f
1,518,073
Callon
Petroleum
Company
2,029,000
6.375%, 
7/1/2026
1,991,284
965,000
7.500%, 
6/15/2030
f,g
935,642
Chesapeake
Energy
Corporation
1,070,000
6.750%, 
4/15/2029
f
1,047,105
Chord
Energy
Corporation
970,000
6.375%, 
6/1/2026
f
951,104
Civitas
Resources,
Inc.
686,000
8.375%, 
7/1/2028
f
698,005
1,101,000
8.750%, 
7/1/2031
f
1,124,637
CNX
Resources
Corporation
818,000
7.375%, 
1/15/2031
f
801,927
Comstock
Resources,
Inc.
2,810,000
5.875%, 
1/15/2030
f
2,432,420
CQP
Holdco,
LP/BIP-V
Chinnok
Holdco,
LLC
2,275,000
5.500%, 
6/15/2031
f
2,016,442
Crescent
Energy
Finance,
LLC
1,685,000
9.250%, 
2/15/2028
f
1,720,301
CrownRock
,
LP/
CrownRock
Finance,
Inc.
1,700,000
5.625%, 
10/15/2025
f
1,672,715
Diamond
Foreign
Asset
Company/
Diamond
Finance,
LLC
629,000
8.500%, 
10/1/2030
f
629,088
DT
Midstream,
Inc.
1,310,000
4.125%, 
6/15/2029
f
1,133,204
610,000
4.375%, 
6/15/2031
f
512,957
Enerflex
,
Ltd.
1,184,000
9.000%, 
10/15/2027
f
1,169,200
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Energy
(12.5%)
-
continued
EnLink
Midstream,
LLC
$
1,979,000
5.625%, 
1/15/2028
f
$
1,871,115
EQM
Midstream
Partners,
LP
4,179,000
4.750%, 
1/15/2031
f
3,597,028
Ferrellgas
,
LP/
Ferrellgas
Finance
Corporation
1,456,000
5.375%, 
4/1/2026
f
1,364,701
Genesis
Energy
LP/Genesis
Energy
Finance
Corporation
2,530,000
8.875%, 
4/15/2030
2,470,264
Harvest
Midstream,
LP
3,188,000
7.500%, 
9/1/2028
f
3,081,622
Hess
Midstream
Operations,
LP
1,605,000
4.250%, 
2/15/2030
f
1,353,397
Hilcorp
Energy
I,
LP/
Hilcorp
Finance
Company
2,274,000
5.750%, 
2/1/2029
f
2,053,408
1,065,000
6.000%, 
2/1/2031
f
936,991
1,350,000
6.250%, 
4/15/2032
f
1,200,352
Howard
Midstream
Energy
Partners,
LLC
2,223,000
6.750%, 
1/15/2027
f
2,111,850
ITT
Holdings,
LLC
1,995,000
6.500%, 
8/1/2029
f
1,691,009
Laredo
Petroleum,
Inc.
2,775,000
7.750%, 
7/31/2029
f
2,581,652
MEG
Energy
Corporation
1,981,000
5.875%, 
2/1/2029
f
1,850,007
Mesquite
Energy,
Inc.
3,740,000
0.000%, 
2/15/2023
d,e
327,250
Murphy
Oil
Corporation
1,495,000
5.875%, 
12/1/2027
1,450,754
Nabors
Industries,
Ltd.
1,770,000
7.250%, 
1/15/2026
f
1,710,262
New
Fortress
Energy,
Inc.
900,000
6.750%, 
9/15/2025
f
859,145
Noble
Finance
II,
LLC
1,498,000
8.000%, 
4/15/2030
f
1,517,591
Northern
Oil
and
Gas,
Inc.
1,522,000
8.750%, 
6/15/2031
f
1,533,416
Northriver
Midstream
Finance,
LP
825,000
5.625%, 
2/15/2026
f
786,184
NuStar
Logistics,
LP
425,000
5.750%, 
10/1/2025
413,313
Patterson-UTI
Energy,
Inc.
1,065,000
3.950%, 
2/1/2028
956,455
530,000
5.150%, 
11/15/2029
483,136
PBF
Holding
Company,
LLC/PBF
Finance
Corporation
1,255,000
6.000%, 
2/15/2028
1,183,678
Permian
Resources
Operating,
LLC
1,415,000
7.000%, 
1/15/2032
f
1,395,491
Precision
Drilling
Corporation
1,405,000
6.875%, 
1/15/2029
f,g
1,330,818
Range
Resources
Corporation
1,745,000
4.750%, 
2/15/2030
f,g
1,548,688
Rockcliff
Energy
II,
LLC
1,703,000
5.500%, 
10/15/2029
f
1,532,642
Rockies
Express
Pipeline,
LLC
314,000
4.950%, 
7/15/2029
f
279,678
SM
Energy
Company
930,000
5.625%, 
6/1/2025
910,191
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
127
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Energy
(12.5%)
-
continued
$
992,000
6.750%, 
9/15/2026
$
973,767
Southwestern
Energy
Company
1,037,000
4.750%, 
2/1/2032
890,045
Suburban
Propane
Partners,
LP/
Suburban
Energy
Finance
Corporation
642,000
5.875%, 
3/1/2027
613,110
Sunoco,
LP/Sunoco
Finance
Corporation
1,200,000
4.500%, 
5/15/2029
1,053,212
850,000
4.500%, 
4/30/2030
736,077
Tallgrass
Energy
Partners
LP/
Tallgrass
Energy
Finance
Corporation
2,845,000
5.500%, 
1/15/2028
f
2,588,949
Targa
Resources
Partners,
LP
1,585,000
6.500%, 
7/15/2027
1,597,284
Teine
Energy,
Ltd.
1,070,000
6.875%, 
4/15/2029
f
981,725
Transocean,
Inc.
3,037,000
11.500%, 
1/30/2027
f
3,185,054
USA
Compression
Partners,
LP/
USA
Compression
Finance
Corporation
1,168,000
6.875%, 
4/1/2026
1,144,106
800,000
6.875%, 
9/1/2027
775,562
Valaris
,
Ltd.
1,539,000
8.375%, 
4/30/2030
f
1,540,154
Venture
Global
Calcasieu
Pass,
LLC
2,490,000
3.875%, 
8/15/2029
f
2,095,281
927,000
6.250%, 
1/15/2030
f
884,237
1,280,000
4.125%, 
8/15/2031
f
1,050,395
Venture
Global
LNG,
Inc.
3,102,000
8.375%, 
6/1/2031
f
3,049,459
Weatherford
International,
Ltd.
2,203,000
8.625%, 
4/30/2030
f
2,219,864
Total
94,130,953
Financials
(7.6%)
Acrisure
,
LLC/
Acrisure
Finance,
Inc.
537,000
6.000%, 
8/1/2029
f
451,265
AerCap
Holdings
NV
2,820,000
5.875%, 
10/10/2079
b
2,742,373
Alliant
Holdings
Intermediate,
LLC/
Alliant
Holdings
Co-Issuer,
Inc.
1,056,000
6.750%, 
10/15/2027
f
982,092
Ally
Financial,
Inc.
390,000
6.700%, 
2/14/2033
338,555
AmWINS
Group,
Inc.
1,377,000
4.875%, 
6/30/2029
f
1,206,567
Avolon
Holdings
Funding,
Ltd.
1,048,000
2.528%, 
11/18/2027
f
884,671
Brookfield
Property
REIT,
Inc./BPR
Cumulus,
LLC/BPR
Nimbus,
LLC/GGSI
Sellco
,
LLC
543,000
4.500%, 
4/1/2027
f
452,515
Burford
Capital
Global
Finance,
LLC
1,850,000
9.250%, 
7/1/2031
f
1,876,784
Castlelake
Aviation
Finance
DAC
822,000
5.000%, 
4/15/2027
f,g
750,780
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Financials
(7.6%)
-
continued
Centene
Corporation
$
962,000
4.625%, 
12/15/2029
$
866,406
920,000
3.375%, 
2/15/2030
767,346
Credit
Acceptance
Corporation
2,097,000
5.125%, 
12/31/2024
f
2,042,425
Drawbridge
Special
Opportunities
Fund,
LP
3,389,000
3.875%, 
2/15/2026
f
3,015,246
Enact
Holdings,
Inc.
1,142,000
6.500%, 
8/15/2025
f
1,124,766
Fortress
Transportation
and
Infrastructure
Investors,
LLC
1,769,000
6.500%, 
10/1/2025
f
1,738,652
700,000
9.750%, 
8/1/2027
f
724,038
Freedom
Mortgage
Corporation
629,000
12.000%, 
10/1/2028
f
639,599
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership,
LP
2,943,000
3.750%, 
12/15/2027
f
2,278,603
HUB
International,
Ltd.
2,343,000
5.625%, 
12/1/2029
f
2,040,185
Icahn
Enterprises,
LP/Icahn
Enterprises
Finance
Corporation
1,105,000
4.750%, 
9/15/2024
1,064,300
647,000
6.250%, 
5/15/2026
601,091
1,766,000
5.250%, 
5/15/2027
1,552,279
Jefferies
Finance,
LLC/JFIN
Co-
Issuer
Corporation
601,000
5.000%, 
8/15/2028
f
506,046
Molina
Healthcare,
Inc.
1,505,000
4.375%, 
6/15/2028
f
1,348,552
MPT
Operating
Partnership,
LP/
MPT
Finance
Corporation
1,530,000
4.625%, 
8/1/2029
1,083,643
Nationstar
Mortgage
Holdings,
Inc.
1,480,000
6.000%, 
1/15/2027
f
1,398,485
Necessity
Retail
REIT,
Inc./
American
Finance
Operating
Partner,
LP
1,780,000
4.500%, 
9/30/2028
f
1,352,052
NFP
Corporation
919,000
6.875%, 
8/15/2028
f
787,287
Office
Properties
Income
Trust
647,000
2.650%, 
6/15/2026
440,135
OneMain
Finance
Corporation
1,192,000
6.875%, 
3/15/2025
1,182,551
2,310,000
7.125%, 
3/15/2026
2,262,371
441,000
3.500%, 
1/15/2027
377,606
1,298,000
4.000%, 
9/15/2030
973,961
Park
Intermediate
Holdings,
LLC
1,651,000
4.875%, 
5/15/2029
f
1,396,664
PRA
Group,
Inc.
1,517,000
7.375%, 
9/1/2025
f
1,477,188
1,267,000
8.375%, 
2/1/2028
f
1,152,970
Quicken
Loans,
LLC
1,689,000
3.875%, 
3/1/2031
f
1,346,758
RLJ
Lodging
Trust,
LP
736,000
3.750%, 
7/1/2026
f
665,631
1,650,000
4.000%, 
9/15/2029
f
1,351,251
Service
Properties
Trust
1,758,000
4.650%, 
3/15/2024
1,734,035
480,000
4.350%, 
10/1/2024
460,466
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
128
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Financials
(7.6%)
-
continued
$
2,240,000
7.500%, 
9/15/2025
$
2,200,655
SLM
Corporation
780,000
4.200%, 
10/29/2025
729,854
Synchrony
Financial
403,000
7.250%, 
2/2/2033
355,693
UBS
Group
AG
1,050,000
2.193%, 
6/5/2026
b,f
976,562
United
Wholesale
Mortgage,
LLC
440,000
5.500%, 
11/15/2025
f
418,518
1,200,000
5.500%, 
4/15/2029
f
1,014,000
USI,
Inc./NY
588,000
6.875%, 
5/1/2025
f
583,471
XHR,
LP
736,000
6.375%, 
8/15/2025
f
722,597
840,000
4.875%, 
6/1/2029
f
714,000
Total
57,153,540
Technology
(5.5%)
AthenaHealth
Group,
Inc.
2,292,000
6.500%, 
2/15/2030
f,g
1,917,275
Cloud
Software
Group,
Inc.
840,000
6.500%, 
3/31/2029
f
742,838
599,000
9.000%, 
9/30/2029
f
520,531
CommScope
Technologies,
LLC
832,000
6.000%, 
6/15/2025
f
792,025
CommScope
,
Inc.
2,330,000
7.125%, 
7/1/2028
f,g
1,394,062
Everi
Holdings,
Inc.
1,065,000
5.000%, 
7/15/2029
f
916,630
Gartner,
Inc.
5,000
3.750%, 
10/1/2030
f
4,196
GTCR
W-2
Merger
Sub,
LLC
1,224,000
7.500%, 
1/15/2031
f,i
1,225,714
II-VI,
Inc.
902,000
5.000%, 
12/15/2029
f,g
782,070
Iron
Mountain,
Inc.
3,415,000
5.250%, 
3/15/2028
f
3,157,092
890,000
5.000%, 
7/15/2028
f
809,500
1,560,000
5.250%, 
7/15/2030
f
1,362,887
1,840,000
4.500%, 
2/15/2031
f
1,513,333
MSCI,
Inc.
2,805,000
3.250%, 
8/15/2033
f
2,158,866
NCR
Corporation
2,097,000
5.750%, 
9/1/2027
f
2,112,610
2,265,000
5.125%, 
4/15/2029
f
1,995,598
Open
Text
Corporation
2,284,000
3.875%, 
12/1/2029
f
1,877,490
1,578,000
4.125%, 
2/15/2030
f
1,320,157
PTC,
Inc.
390,000
3.625%, 
2/15/2025
f
374,802
1,045,000
4.000%, 
2/15/2028
f
936,581
Rackspace
Technology
Global,
Inc.
1,035,000
3.500%, 
2/15/2028
f
483,161
855,000
5.375%, 
12/1/2028
f
286,720
RingCentral,
Inc.
1,570,000
8.500%, 
8/15/2030
f
1,516,620
Seagate
HDD
Cayman
2,483,000
4.091%, 
6/1/2029
2,141,963
Sensata
Technologies
BV
3,200,000
4.000%, 
4/15/2029
f
2,755,513
Sensata
Technologies,
Inc.
1,275,000
3.750%, 
2/15/2031
f
1,031,889
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Technology
(5.5%)
-
continued
Shift4
Payments,
LLC/Shift4
Payments
Finance
Sub,
Inc.
$
960,000
4.625%, 
11/1/2026
f
$
905,146
SS&C
Technologies,
Inc.
4,390,000
5.500%, 
9/30/2027
f
4,142,580
Unisys
Corporation
1,690,000
6.875%, 
11/1/2027
f
1,265,388
Viavi
Solutions,
Inc.
1,662,000
3.750%, 
10/1/2029
f
1,351,040
Total
41,794,277
Transportation
(2.7%)
Allegiant
Travel
Company
1,320,000
7.250%, 
8/15/2027
f
1,242,450
American
Airlines
Group,
Inc.
534,000
3.750%, 
3/1/2025
f
505,874
American
Airlines,
Inc.
1,500,000
11.750%, 
7/15/2025
f
1,612,489
1,078,000
7.250%, 
2/15/2028
f
1,030,683
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
1,470,333
5.500%, 
4/20/2026
f
1,436,020
Avis
Budget
Car
Rental,
LLC/Avis
Budget
Finance,
Inc.
1,004,000
5.375%, 
3/1/2029
f
892,327
Delta
Air
Lines,
Inc.
877,000
7.000%, 
5/1/2025
f
886,521
Hawaiian
Brand
Intellectual
Property,
Ltd.
2,139,000
5.750%, 
1/20/2026
f
1,924,794
Hertz
Corporation
1,556,000
4.625%, 
12/1/2026
f
1,379,005
1,868,000
5.000%, 
12/1/2029
f
1,462,498
Rand
Parent,
LLC
1,564,000
8.500%, 
2/15/2030
f,g
1,446,858
Spirit
Loyalty
Cayman,
Ltd.
450,000
8.000%, 
9/20/2025
f
449,787
United
Airlines,
Inc.
1,165,000
4.375%, 
4/15/2026
f
1,077,381
1,363,000
4.625%, 
4/15/2029
f
1,171,540
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.
461,000
7.875%, 
5/1/2027
f
397,036
2,300,000
6.375%, 
2/1/2030
f
1,776,416
XPO
Escrow
Sub,
LLC
1,776,000
7.500%, 
11/15/2027
f
1,795,607
Total
20,487,286
Utilities
(2.8%)
Calpine
Corporation
1,290,000
4.500%, 
2/15/2028
f
1,162,582
Edison
International
1,345,000
5.000%, 
12/15/2026
b,j
1,149,538
Leeward
Renewable
Energy
Operations,
LLC
1,065,000
4.250%, 
7/1/2029
f
875,491
NextEra
Energy
Operating
Partners,
LP
2,792,000
3.875%, 
10/15/2026
f
2,527,920
NRG
Energy,
Inc.
1,340,000
5.250%, 
6/15/2029
f
1,182,896
PG&E
Corporation
2,069,000
5.000%, 
7/1/2028
g
1,874,058
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
129
Principal
Amount
Long-Term
Fixed
Income
(88.5%)
Value
Utilities
(2.8%)
-
continued
Sunnova
Energy
Corporation
$
1,070,000
5.875%, 
9/1/2026
f,g
$
917,097
Talen
Energy
Supply,
LLC
1,478,000
8.625%, 
6/1/2030
f
1,515,100
Terraform
Global
Operating,
LLC
2,660,000
6.125%, 
3/1/2026
f
2,610,125
TerraForm
Power
Operating,
LLC
3,345,000
5.000%, 
1/31/2028
f
3,035,588
Vistra
Corporation
2,062,000
7.000%, 
12/15/2026
b,f,j
1,881,575
Vistra
Operations
Company,
LLC
2,437,000
5.000%, 
7/31/2027
f
2,240,550
Total
20,972,520
Total
Long-Term
Fixed
Income
(cost
$737,315,085)
667,211,180
Shares
Collateral
Held
for
Securities
Loaned
(
8.2%
)
Value
61,677,713
Thrivent
Cash
Management
Trust
61,677,713
Total
Collateral
Held
for
Securities
Loaned
(cost
$61,677,713)
61,677,713
Shares
Registered
Investment
Companies
(
5.1%
)
Value
U.S.
Unaffiliated  (5.1%)
398,672
SPDR
Bloomberg
High
Yield
Bond
ETF
g
36,039,949
82,708
SPDR
Bloomberg
Short
Term
High
Yield
Bond
ETF
2,023,037
Total
38,062,986
Total
Registered
Investment
Companies
(cost
$38,832,666)
38,062,986
Shares
Common
Stock
(
0.1%
)
Value
Communications
Services
(0.1%)
85,655
Windstream
Services,
LLC
k
813,722
Total
813,722
Energy
(<0.1%)
12,877
California
Resources
Corporation,
Warrants
(Expires
10/27/2024)
274,409
Total
274,409
Total
Common
Stock
(cost
$844,873)
1,088,131
Shares
or
Principal
Amount
Short-Term
Investments
(
1.2%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
785,166
5.650%
7,851,664
Shares
or
Principal
Amount
Short-Term
Investments
(1.2%)
Value
U.S.
Treasury
Bills
1,200,000
5.254%,
10/19/2023
l,m
$
1,197,002
Total
Short-Term
Investments
(cost
$9,038,742)
9,048,666
Total
Investments
(cost
$874,350,845)
106.4%
$802,127,366
Other
Assets
and
Liabilities,
Net
(6.4%)
(48,124,851)
Total
Net
Assets
100.0%
$754,002,515
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
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
Defaulted
security.  Interest
is
not
being
accrued.
e
In
bankruptcy.  Income
is
not
being
accrued
per
the
bankruptcy
agreement
terms.
f
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$538,671,925
or
71.4%
of
total
net
assets.
g
All
or
a
portion
of
the
security
is
on
loan.
h
Denotes
payment-in-kind
security.  The
security
may
pay
an
interest
or
dividend
payment
with
additional
fixed
income
or
equity
securities
in
lieu
of,
or
in
addition
to
a
cash
payment.  The
cash
rate
and/or
payment-in-kind
rate
shown
are
as
of
September
29,
2023.
i
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
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
Non-income
producing
security.
l
The
interest
rate
shown
reflects
the
yield.
m
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.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
High
Yield
Portfolio
as
of
September
29,
2023
was
$23,013
or
0.00%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
29,
2023.
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
130
Security
Acquisition
Date
Cost
Abengoa
Abenewco
2
Bis
SA,
Convertible,
4/26/2024
4/26/2019
$
563,723
ACN
113
874
712,
Pty.
Ltd.,
2/15/2018
2/9/2011
3,026,704
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
High
Yield
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
25,739,258
Common
Stock
34,234,480
Total
lending
$59,973,738
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$61,677,713
Net
amounts
due
to
counterparty
$1,703,975
Definitions:
ETF
-
Exchange
Traded
Fund
PIK
-
Payment-In-Kind
plc
-
Public
Limited
Company
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.
Reference
Rate
Index:
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
131
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
High
Yield
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
3,334,578
3,334,578
Capital
Goods
1,552,605
1,552,605
Communications
Services
8,585,559
8,585,559
Consumer
Cyclical
1,418,888
1,418,888
Consumer
Non-Cyclical
3,348,181
3,348,181
Energy
1,114,749
1,114,749
Technology
2,115,911
2,115,911
Transportation
3,568,219
3,568,219
Long-Term
Fixed
Income
Basic
Materials
40,527,046
40,527,046
Capital
Goods
86,242,171
86,242,171
Communications
Services
84,399,599
84,399,599
Consumer
Cyclical
128,577,114
128,577,114
Consumer
Non-Cyclical
92,926,674
92,926,674
Energy
94,130,953
94,130,953
Financials
57,153,540
57,153,540
Technology
41,794,277
41,794,277
Transportation
20,487,286
20,487,286
Utilities
20,972,520
20,972,520
Registered
Investment
Companies
U.S.
Unaffiliated
38,062,986
38,062,986
Common
Stock
Communications
Services
813,722
813,722
Energy
274,409
274,409
Short-Term
Investments
1,197,002
1,197,002
Subtotal
Investments
in
Securities
$732,597,989
$38,337,395
$690,926,016
$3,334,578
Other
Investments  *
Total
Affiliated
Short-Term
Investments
7,851,664
Collateral
Held
for
Securities
Loaned
61,677,713
Subtotal
Other
Investments
$69,529,377
Total
Investments
at
Value
$802,127,366
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
High
Yield
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Credit
Default
Swaps
10,240
10,240
Total
Asset
Derivatives
$10,240
$–
$10,240
$–
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
132
The
following
table
presents
High
Yield
Portfolio's
swaps
contracts
held
as
of
September
29,
2023.
Investments
totaling
$1,197,002
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
41,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2028
$
15,800,000
$
$
10,240
$
10,240
Total
Credit
Default
Swaps
$–
$10,240
$10,240
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
13,821
$118,179
$124,148
$7,852
785
1.0%
Total
Affiliated
Short-Term
Investments
13,821
7,852
1.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
45,244
376,820
360,386
61,678
61,678
8.2
Total
Collateral
Held
for
Securities
Loaned
45,244
61,678
8.2
Total
Value
$59,065
$69,530
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$602
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$602
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
486
Total
Affiliated
Income
from
Securities
Loaned,
Net
$486
Total
Value
$–
$–
$
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
133
Principal
Amount
Long-Term
Fixed
Income
(
96.2%
)
Value
Asset-Backed
Securities
(2.6%)
Ares
XL
CLO,
Ltd.
$
4,250,000
7.370%, 
(TSFR3M
+
2.062%),
1/15/2029,
Ser.
2016-40A,
Class
BRR
a,b
$
4,174,898
Atrium
IX
3,600,000
7.650%, 
(TSFR3M
+
2.262%),
5/28/2030,
Ser.
9A,
Class
CR2
a,b
3,564,256
Benefit
Street
Partners
CLO
II,
Ltd.
3,600,000
7.470%, 
(TSFR3M
+
2.162%),
7/15/2029,
Ser.
2013-IIA,
Class
BR2
a,b
3,599,878
Galaxy
XXIII
CLO,
Ltd.
1,200,000
7.307%, 
(TSFR3M
+
1.962%),
4/24/2029,
Ser.
2017-23A,
Class
C1R
a,b
1,190,122
GMAC
Mortgage
Corporation
Loan
Trust
110,289
5.934%, 
(TSFR1M
+
0.614%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,c
61,131
OCP
CLO,
Ltd.
5,125,000
7.570%, 
(TSFR3M
+
2.262%),
7/15/2030,
Ser.
2017-13A,
Class
BR
a,b
4,955,521
Octagon
Investment
Partners
31,
LLC
3,200,000
8.988%, 
(TSFR3M
+
3.662%),
7/20/2030,
Ser.
2017-1A,
Class
DR
a,b
3,110,839
Park
Blue
CLO
2022-II,
Ltd.
2,600,000
7.876%, 
(TSFR3M
+
2.550%),
1/20/2035,
Ser.
2022-2A,
Class
A1
a,b
2,617,399
Preferred
Term
Securities
XXIII,
Ltd./Preferred
Term
Securities
XXIII,
Inc.
152,538
5.871%, 
(LIBOR
3M
+
0.200%),
12/22/2036,
Ser.
A-FP
a,b
151,377
Sound
Point
CLO
XV,
Ltd.
6,400,000
7.107%, 
(TSFR3M
+
1.762%),
1/23/2029,
Ser.
2017-1A,
Class
BR
a,b
6,384,096
Sound
Point
CLO,
Ltd.
3,200,000
7.838%, 
(TSFR3M
+
2.512%),
1/20/2032,
Ser.
2019-1A,
Class
CR
a,b
3,038,941
Total
32,848,458
Basic
Materials
(1.0%)
Alcoa
Nederland
Holding
BV
240,000
5.500%, 
12/15/2027
a
227,974
Anglo
American
Capital
plc
2,050,000
4.750%, 
4/10/2027
a
1,964,706
Celanese
US
Holdings,
LLC
2,800,000
6.550%, 
11/15/2030
2,740,165
Freeport-McMoRan,
Inc.
320,000
4.125%, 
3/1/2028
293,136
Glencore
Funding,
LLC
1,800,000
3.375%, 
9/23/2051
a
1,080,401
4,559,000
4.000%, 
3/27/2027
a
4,279,323
2,700,000
2.500%, 
9/1/2030
a,d
2,134,186
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Basic
Materials
(1.0%)
-
continued
Olin
Corporation
$
320,000
5.125%, 
9/15/2027
$
299,203
Total
13,019,094
Capital
Goods
(5.3%)
BAE
Systems
plc
2,550,000
3.400%, 
4/15/2030
a
2,220,488
1,600,000
1.900%, 
2/15/2031
a
1,234,544
Boeing
Company
6,650,000
5.930%, 
5/1/2060
5,971,155
2,800,000
3.250%, 
2/1/2028
2,524,993
1,600,000
5.150%, 
5/1/2030
1,528,798
3,500,000
5.705%, 
5/1/2040
3,229,109
Carrier
Global
Corporation
3,000,000
2.722%, 
2/15/2030
2,500,129
1,550,000
2.700%, 
2/15/2031
1,256,442
CNH
Industrial
Capital,
LLC
2,900,000
4.550%, 
4/10/2028
2,755,255
Howmet
Aerospace,
Inc.
4,750,000
3.000%, 
1/15/2029
4,020,682
2,400,000
5.950%, 
2/1/2037
2,253,444
Huntington
Ingalls
Industries,
Inc.
1,900,000
3.844%, 
5/1/2025
1,835,144
Ingersoll
Rand,
Inc.
700,000
5.400%, 
8/14/2028
688,214
1,000,000
5.700%, 
8/14/2033
965,115
John
Deere
Capital
Corporation
4,500,000
4.900%, 
3/3/2028
4,435,817
4,500,000
5.150%, 
9/8/2033
4,400,561
L3Harris
Technologies,
Inc.
2,750,000
5.400%, 
1/15/2027
2,726,065
Lockheed
Martin
Corporation
1,600,000
5.900%, 
11/15/2063
1,629,649
Northrop
Grumman
Corporation
1,550,000
4.700%, 
3/15/2033
1,447,120
Regal
Rexnord
Corporation
2,850,000
6.050%, 
4/15/2028
a
2,772,100
2,800,000
6.300%, 
2/15/2030
a
2,704,722
Republic
Services,
Inc.
2,900,000
4.875%, 
4/1/2029
2,818,391
RTX
Corporation
2,750,000
3.030%, 
3/15/2052
1,654,204
2,200,000
4.125%, 
11/16/2028
2,051,402
1,925,000
4.450%, 
11/16/2038
1,619,528
Teledyne
Technologies,
Inc.
3,000,000
2.250%, 
4/1/2028
2,581,018
Textron,
Inc.
2,560,000
3.650%, 
3/15/2027
2,390,175
Total
66,214,264
Collateralized
Mortgage
Obligations
(<0.1%)
Wachovia
Mortgage
Loan
Trust,
LLC
52,898
4.624%, 
5/20/2036,
Ser.
2006-A,
Class
2A1
b
49,869
Total
49,869
Communications
Services
(7.2%)
Activision
Blizzard,
Inc.
4,300,000
2.500%, 
9/15/2050
2,560,616
American
Tower
Corporation
1,810,000
3.125%, 
1/15/2027
1,655,135
3,100,000
1.875%, 
10/15/2030
2,345,841
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
134
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Communications
Services
(7.2%)
-
continued
$
1,400,000
5.650%, 
3/15/2033
$
1,345,774
AT&T,
Inc.
2,250,000
3.650%, 
6/1/2051
1,450,787
2,481,000
4.300%, 
2/15/2030
2,259,202
2,250,000
2.750%, 
6/1/2031
1,800,006
4,487,000
2.550%, 
12/1/2033
3,295,649
3,190,000
4.300%, 
12/15/2042
2,459,735
1,700,000
4.500%, 
3/9/2048
1,285,550
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
2,100,000
5.000%, 
2/1/2028
a
1,907,090
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
3,750,000
4.800%, 
3/1/2050
2,622,247
2,800,000
4.908%, 
7/23/2025
2,736,026
2,450,000
6.384%, 
10/23/2035
2,282,770
2,500,000
3.500%, 
6/1/2041
1,580,947
Comcast
Corporation
1,183,000
2.887%, 
11/1/2051
697,189
2,650,000
4.600%, 
10/15/2038
2,321,943
1,200,000
4.650%, 
7/15/2042
1,010,721
Cox
Communications,
Inc.
2,700,000
3.350%, 
9/15/2026
a
2,512,482
Discovery
Communications,
LLC
1,100,000
4.900%, 
3/11/2026
1,073,622
Meta
Platforms,
Inc.
2,000,000
5.600%, 
5/15/2053
1,892,918
2,500,000
4.800%, 
5/15/2030
2,435,101
2,250,000
4.950%, 
5/15/2033
2,156,285
Netflix,
Inc.
1,200,000
4.875%, 
4/15/2028
1,162,701
3,731,000
5.875%, 
11/15/2028
3,752,121
1,800,000
6.375%, 
5/15/2029
1,858,602
4,300,000
4.875%, 
6/15/2030
a,d
4,070,844
SBA
Communications
Corporation
320,000
3.125%, 
2/1/2029
266,903
Sprint
Capital
Corporation
230,000
6.875%, 
11/15/2028
237,474
6,950,000
8.750%, 
3/15/2032
8,040,080
Sprint
Corporation
570,000
7.125%, 
6/15/2024
573,467
Take-Two
Interactive
Software,
Inc.
2,250,000
5.000%, 
3/28/2026
2,207,775
1,600,000
4.950%, 
3/28/2028
1,546,338
T-Mobile
USA,
Inc.
4,400,000
3.400%, 
10/15/2052
2,748,441
1,800,000
3.500%, 
4/15/2031
1,522,025
1,800,000
3.000%, 
2/15/2041
1,192,764
Verizon
Communications,
Inc.
4,000,000
3.875%, 
3/1/2052
2,816,002
2,600,000
4.000%, 
3/22/2050
1,862,760
2,400,000
2.100%, 
3/22/2028
2,061,456
1,591,000
1.680%, 
10/30/2030
1,209,650
4,200,000
3.400%, 
3/22/2041
2,977,553
Warnermedia
Holdings,
Inc.
3,300,000
5.141%, 
3/15/2052
2,452,034
3,600,000
5.050%, 
3/15/2042
2,784,198
Total
91,030,824
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Consumer
Cyclical
(5.9%)
Amazon.com,
Inc.
$
1,800,000
3.100%, 
5/12/2051
$
1,187,850
Caesars
Entertainment,
Inc.
320,000
6.250%, 
7/1/2025
a
315,620
Daimler
Trucks
Finance
North
America,
LLC
2,700,000
5.400%, 
9/20/2028
a
2,649,806
4,500,000
2.375%, 
12/14/2028
a
3,821,704
Expedia
Group,
Inc.
5,400,000
3.250%, 
2/15/2030
4,567,337
General
Motors
Company
2,425,000
6.800%, 
10/1/2027
2,474,745
General
Motors
Financial
Company,
Inc.
1,700,000
5.400%, 
4/6/2026
1,664,826
GLP
Capital,
LP
2,500,000
3.250%, 
1/15/2032
1,940,222
Home
Depot,
Inc.
2,680,000
4.250%, 
4/1/2046
2,150,710
Hyatt
Hotels
Corporation
2,200,000
5.750%, 
4/23/2030
2,132,788
Hyundai
Capital
America
2,750,000
1.800%, 
1/10/2028
a
2,303,881
5,600,000
6.200%, 
9/21/2030
a
5,515,801
Kohl's
Corporation
3,150,000
4.625%, 
5/1/2031
2,116,926
3,100,000
5.550%, 
7/17/2045
1,743,347
Lennar
Corporation
2,950,000
4.750%, 
5/30/2025
2,885,951
Lowe's
Companies,
Inc.
1,700,000
5.625%, 
4/15/2053
1,545,158
4,750,000
2.625%, 
4/1/2031
3,842,257
Marriott
International,
Inc./MD
5,650,000
4.625%, 
6/15/2030
5,204,547
McDonald's
Corporation
2,675,000
4.450%, 
3/1/2047
2,178,893
Nissan
Motor
Acceptance
Company,
LLC
1,700,000
7.050%, 
9/15/2028
a
1,699,706
Starbucks
Corporation
4,000,000
4.800%, 
2/15/2033
d
3,763,813
Target
Corporation
2,750,000
2.950%, 
1/15/2052
1,677,635
Toll
Brothers
Finance
Corporation
2,300,000
3.800%, 
11/1/2029
2,005,389
Toyota
Motor
Credit
Corporation
4,500,000
4.550%, 
5/17/2030
4,264,777
VICI
Properties,
LP/VICI
Note
Company,
Inc.
2,400,000
4.625%, 
6/15/2025
a
2,317,656
640,000
4.500%, 
9/1/2026
a
601,251
180,000
4.250%, 
12/1/2026
a
167,715
3,500,000
5.750%, 
2/1/2027
a
3,388,237
1,800,000
3.750%, 
2/15/2027
a
1,633,344
180,000
4.625%, 
12/1/2029
a
159,669
Walmart,
Inc.
2,200,000
4.500%, 
9/9/2052
1,889,806
Total
73,811,367
Consumer
Non-Cyclical
(11.0%)
Abbott
Laboratories
1,440,000
4.750%, 
11/30/2036
1,368,065
2,500,000
6.000%, 
4/1/2039
2,627,438
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
135
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Consumer
Non-Cyclical
(11.0%)
-
continued
AbbVie,
Inc.
$
5,100,000
4.550%, 
3/15/2035
$
4,638,894
3,100,000
4.300%, 
5/14/2036
2,719,038
1,900,000
4.850%, 
6/15/2044
1,648,678
Amgen,
Inc.
4,000,000
5.650%, 
3/2/2053
3,743,691
2,900,000
5.250%, 
3/2/2033
2,772,281
Anheuser-Busch
Companies,
LLC/Anheuser-Busch
InBev
Worldwide,
Inc.
2,710,000
4.700%, 
2/1/2036
2,483,813
Anheuser-Busch
InBev
Worldwide,
Inc.
2,750,000
3.500%, 
6/1/2030
2,446,693
586,000
4.600%, 
4/15/2048
495,292
2,700,000
4.439%, 
10/6/2048
2,223,230
3,900,000
5.550%, 
1/23/2049
3,735,391
AstraZeneca
plc
3,400,000
2.125%, 
8/6/2050
1,848,827
3,000,000
1.375%, 
8/6/2030
2,326,559
BAT
Capital
Corporation
3,250,000
4.700%, 
4/2/2027
3,111,710
3,500,000
2.259%, 
3/25/2028
2,960,050
2,500,000
6.343%, 
8/2/2030
2,462,439
1,900,000
7.750%, 
10/19/2032
2,006,945
Becton,
Dickinson
and
Company
3,041,000
3.794%, 
5/20/2050
2,191,007
Cargill,
Inc.
1,750,000
3.125%, 
5/25/2051
a
1,122,016
Constellation
Brands,
Inc.
640,000
3.500%, 
5/9/2027
594,017
2,700,000
4.900%, 
5/1/2033
2,505,900
CVS
Health
Corporation
3,250,000
5.625%, 
2/21/2053
2,921,089
1,950,000
4.250%, 
4/1/2050
1,442,711
1,900,000
5.125%, 
2/21/2030
1,827,465
2,800,000
2.125%, 
9/15/2031
2,141,309
Eli
Lilly
&
Company
1,970,000
4.950%, 
2/27/2063
1,787,329
2,250,000
4.700%, 
2/27/2033
2,165,997
HCA,
Inc.
2,500,000
5.875%, 
2/15/2026
2,486,143
1,800,000
5.375%, 
9/1/2026
1,766,519
3,000,000
5.625%, 
9/1/2028
2,925,178
Imperial
Brands
Finance
plc
2,700,000
3.500%, 
7/26/2026
a
2,526,722
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
USA
Finance,
Inc.
4,200,000
4.375%, 
2/2/2052
2,791,226
1,200,000
5.500%, 
1/15/2030
1,120,245
2,350,000
3.625%, 
1/15/2032
1,871,094
3,400,000
3.000%, 
5/15/2032
2,564,898
Kenvue,
Inc.
1,750,000
5.050%, 
3/22/2053
a
1,589,565
1,600,000
5.000%, 
3/22/2030
a
1,558,859
Kraft
Foods
Group,
Inc.
230,000
5.000%, 
6/4/2042
199,196
Kraft
Heinz
Foods
Company
1,400,000
5.500%, 
6/1/2050
1,276,256
450,000
3.750%, 
4/1/2030
401,645
1,770,000
4.375%, 
6/1/2046
1,379,258
1,850,000
4.875%, 
10/1/2049
1,544,263
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Consumer
Non-Cyclical
(11.0%)
-
continued
Mattel,
Inc.
$
3,000,000
5.450%, 
11/1/2041
$
2,474,478
Medtronic,
Inc.
4,200,000
4.375%, 
3/15/2035
3,804,329
Nestle
Holdings,
Inc.
4,250,000
4.950%, 
3/14/2030
a
4,175,040
2,900,000
4.850%, 
3/14/2033
a
2,802,331
Newell
Brands,
Inc.
1,600,000
4.700%, 
4/1/2026
1,507,828
Pfizer
Investment
Enterprises
Pte,
Ltd.
5,825,000
5.300%, 
5/19/2053
5,412,313
4,800,000
4.650%, 
5/19/2030
4,599,861
1,167,000
4.750%, 
5/19/2033
1,103,139
Philip
Morris
International,
Inc.
4,800,000
5.125%, 
2/15/2030
4,603,402
4,500,000
5.500%, 
9/7/2030
4,375,748
2,935,000
5.750%, 
11/17/2032
2,863,752
Reynolds
American,
Inc.
1,560,000
5.850%, 
8/15/2045
1,292,194
Roche
Holdings,
Inc.
3,800,000
2.607%, 
12/13/2051
a
2,272,950
Royalty
Pharma
plc
2,550,000
1.750%, 
9/2/2027
2,175,745
Smithfield
Foods,
Inc.
1,200,000
3.000%, 
10/15/2030
a
917,291
Sysco
Corporation
1,400,000
6.600%, 
4/1/2050
1,445,289
1,000,000
6.600%, 
4/1/2040
1,021,877
Takeda
Pharmaceutical
Company,
Ltd.
2,800,000
3.175%, 
7/9/2050
1,771,834
Total
138,938,342
Energy
(6.4%)
BP
Capital
Markets
America,
Inc.
5,250,000
3.001%, 
3/17/2052
3,219,530
Canadian
Natural
Resources,
Ltd.
700,000
2.950%, 
7/15/2030
580,575
Cheniere
Energy
Partners,
LP
7,310,000
4.500%, 
10/1/2029
6,619,009
2,000,000
4.000%, 
3/1/2031
1,709,872
1,900,000
5.950%, 
6/30/2033
a
1,832,493
Continental
Resources,
Inc.
1,200,000
2.268%, 
11/15/2026
a
1,063,138
3,100,000
4.375%, 
1/15/2028
2,875,245
Energy
Transfer,
LP
1,500,000
6.500%, 
11/15/2026
b,e
1,378,275
3,480,000
4.200%, 
4/15/2027
3,278,974
3,500,000
4.000%, 
10/1/2027
3,249,913
2,900,000
3.750%, 
5/15/2030
2,526,171
4,000,000
6.000%, 
6/15/2048
3,550,143
Enterprise
Products
Operating,
LLC
1,350,000
8.619%, 
(TSFR3M
+
3.248%),
8/16/2077
b
1,333,584
EQT
Corporation
1,992,000
6.125%, 
2/1/2025
1,985,129
Equinor
ASA
2,075,000
3.125%, 
4/6/2030
1,836,430
Halliburton
Company
3,300,000
4.850%, 
11/15/2035
2,967,681
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
136
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Energy
(6.4%)
-
continued
MPLX,
LP
$
3,250,000
4.800%, 
2/15/2029
$
3,083,479
1,600,000
4.950%, 
9/1/2032
1,457,138
878,000
5.000%, 
3/1/2033
800,066
National
Fuel
Gas
Company
4,186,000
5.500%, 
1/15/2026
4,116,790
Occidental
Petroleum
Corporation
3,500,000
6.625%, 
9/1/2030
3,546,375
ONEOK,
Inc.
900,000
5.650%, 
11/1/2028
888,343
Ovintiv,
Inc.
4,756,000
5.375%, 
1/1/2026
4,689,258
1,600,000
5.650%, 
5/15/2028
1,565,024
Pioneer
Natural
Resources
Company
1,800,000
2.150%, 
1/15/2031
1,420,377
Plains
All
American
Pipeline,
LP/
PAA
Finance
Corporation
2,700,000
3.800%, 
9/15/2030
2,319,158
Schlumberger
Holdings
Corporation
2,750,000
3.900%, 
5/17/2028
a
2,554,390
Targa
Resources
Corporation
2,100,000
6.125%, 
3/15/2033
2,058,631
TransCanada
PipeLines,
Ltd.
800,000
6.203%, 
3/9/2026
798,685
1,750,000
4.625%, 
3/1/2034
1,524,412
Western
Gas
Partners,
LP
4,700,000
4.650%, 
7/1/2026
4,514,520
Williams
Companies,
Inc.
1,700,000
5.300%, 
8/15/2052
1,444,838
2,450,000
7.500%, 
1/15/2031
2,605,451
Williams
Partners,
LP
2,000,000
4.850%, 
3/1/2048
1,597,837
Total
80,990,934
Financials
(33.8%)
AerCap
Holdings
NV
3,200,000
5.875%, 
10/10/2079
b
3,111,913
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
1,900,000
6.500%, 
7/15/2025
1,902,191
1,500,000
4.625%, 
10/15/2027
1,406,704
2,800,000
3.875%, 
1/23/2028
2,539,310
4,100,000
6.150%, 
9/30/2030
4,038,338
2,400,000
3.400%, 
10/29/2033
1,856,451
Air
Lease
Corporation
4,100,000
4.650%, 
6/15/2026
b,e
3,610,619
1,850,000
3.625%, 
4/1/2027
1,673,870
2,500,000
3.000%, 
2/1/2030
2,056,234
Aircastle,
Ltd.
800,000
2.850%, 
1/26/2028
a
678,786
Allianz
SE
3,200,000
3.200%, 
10/30/2027
a,b,e
2,272,337
Ally
Financial,
Inc.
4,050,000
5.750%, 
11/20/2025
3,933,998
1,750,000
8.000%, 
11/1/2031
1,766,861
American
Homes
4
Rent,
LP
1,550,000
2.375%, 
7/15/2031
1,181,766
ANZ
Bank
New
Zealand,
Ltd.
1,700,000
5.548%, 
8/11/2032
a,b
1,650,637
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Financials
(33.8%)
-
continued
Aon
Corporation/Aon
Global
Holdings
plc
$
2,000,000
5.350%, 
2/28/2033
$
1,917,312
Ares
Capital
Corporation
3,600,000
3.875%, 
1/15/2026
3,368,572
1,800,000
2.875%, 
6/15/2027
d
1,570,447
Associated
Banc-Corp
2,650,000
4.250%, 
1/15/2025
2,548,432
Australia
&
New
Zealand
Banking
Group,
Ltd.
2,200,000
2.950%, 
7/22/2030
a,b
2,042,247
2,500,000
2.570%, 
11/25/2035
a,b
1,850,790
Avolon
Holdings
Funding,
Ltd.
300,000
5.250%, 
5/15/2024
a
297,115
1,800,000
5.500%, 
1/15/2026
a
1,742,558
1,500,000
4.250%, 
4/15/2026
a
1,409,844
5,400,000
4.375%, 
5/1/2026
a
5,070,256
Banco
Santander
SA
3,200,000
2.746%, 
5/28/2025
3,013,685
3,600,000
5.294%, 
8/18/2027
3,480,747
1,800,000
4.379%, 
4/12/2028
1,661,770
Bank
of
America
Corporation
3,950,000
3.705%, 
4/24/2028
b
3,637,922
1,750,000
5.202%, 
4/25/2029
b
1,685,781
1,800,000
4.271%, 
7/23/2029
b
1,658,960
4,000,000
5.819%, 
9/15/2029
b
3,950,910
1,825,000
3.974%, 
2/7/2030
b
1,639,029
2,720,000
3.194%, 
7/23/2030
b
2,324,984
6,200,000
1.922%, 
10/24/2031
b
4,677,492
3,500,000
2.572%, 
10/20/2032
b
2,689,374
1,800,000
2.972%, 
2/4/2033
b
1,419,399
4,800,000
4.571%, 
4/27/2033
b
4,261,599
1,800,000
4.244%, 
4/24/2038
b
1,480,257
1,860,000
2.831%, 
10/24/2051
b,d
1,093,291
Bank
of
New
York
Mellon
Corporation
2,925,000
5.802%, 
10/25/2028
b
2,919,316
Barclays
plc
3,100,000
6.125%, 
12/15/2025
b,e
2,806,889
2,800,000
5.829%, 
5/9/2027
b
2,749,823
1,280,000
4.836%, 
5/9/2028
1,168,522
2,600,000
2.645%, 
6/24/2031
b
2,010,093
Berkshire
Hathaway
Finance
Corporation
6,000,000
2.850%, 
10/15/2050
3,733,016
1,950,000
4.250%, 
1/15/2049
1,597,721
Blackstone
Private
Credit
Fund
1,600,000
7.050%, 
9/29/2025
1,602,455
Blue
Owl
Credit
Income
Corporation
3,000,000
4.700%, 
2/8/2027
2,729,910
Blue
Owl
Technology
Finance
Corporation
1,500,000
3.750%, 
6/17/2026
a
1,331,209
BNP
Paribas
SA
2,700,000
6.625%, 
3/25/2024
a,b,e
2,662,428
1,650,000
8.500%, 
8/14/2028
a,b,e
1,614,232
BPCE
SA
3,190,000
5.150%, 
7/21/2024
a
3,139,268
Brandywine
Operating
Partnership,
LP
2,533,000
3.950%, 
11/15/2027
2,095,719
Brixmor
Operating
Partnership,
LP
1,500,000
2.250%, 
4/1/2028
1,263,126
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
137
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Financials
(33.8%)
-
continued
Capital
One
Financial
Corporation
$
2,690,000
4.200%, 
10/29/2025
$
2,565,037
Centene
Corporation
160,000
4.250%, 
12/15/2027
147,506
480,000
4.625%, 
12/15/2029
432,302
3,605,000
3.375%, 
2/15/2030
3,006,830
3,000,000
2.500%, 
3/1/2031
2,304,656
2,200,000
2.625%, 
8/1/2031
1,684,986
Charles
Schwab
Corporation
2,550,000
5.375%, 
6/1/2025
b,e
2,449,856
3,100,000
4.000%, 
12/1/2030
b,e
2,187,270
Citigroup,
Inc.
2,305,000
5.500%, 
9/13/2025
2,277,176
2,490,000
4.450%, 
9/29/2027
2,337,732
2,000,000
3.668%, 
7/24/2028
b
1,834,627
3,000,000
4.075%, 
4/23/2029
b
2,761,023
2,750,000
2.520%, 
11/3/2032
b
2,092,202
5,900,000
3.057%, 
1/25/2033
b
4,664,167
Comerica,
Inc.
2,100,000
5.625%, 
7/1/2025
b,d,e
1,924,179
Corebridge
Financial,
Inc.
1,050,000
3.650%, 
4/5/2027
972,013
1,650,000
3.850%, 
4/5/2029
1,482,168
Corebridge
Global
Funding
1,650,000
5.900%, 
9/19/2028
a
1,644,312
CoreStates
Capital
III
2,440,000
6.196%, 
(TSFR3M
+
0.832%),
2/15/2027
a,b
2,327,673
Corporate
Office
Properties,
LP
2,175,000
2.250%, 
3/15/2026
1,958,161
Credit
Agricole
SA
2,400,000
6.875%, 
9/23/2024
a,b,e
2,341,074
Credit
Suisse
Group
AG
2,450,000
5.250%, 
8/11/2024
a,b,e,f
232,750
2,500,000
7.250%, 
9/12/2025
a,b,e,f
237,500
1,950,000
7.500%, 
7/17/2028
*,b,e,f
185,250
Danske
Bank
AS
2,850,000
3.773%, 
3/28/2025
a,b
2,807,588
Deutsche
Bank
AG
3,000,000
6.000%, 
10/30/2025
b,d,e
2,341,471
Deutsche
Bank
AG/New
York,
NY
1,350,000
3.961%, 
11/26/2025
b
1,303,835
2,200,000
2.311%, 
11/16/2027
b
1,915,725
Discover
Bank
3,490,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
b
3,193,458
Discover
Financial
Services
1,300,000
6.700%, 
11/29/2032
1,256,620
Elevance
Health,
Inc.
1,750,000
5.125%, 
2/15/2053
1,545,005
1,250,000
6.100%, 
10/15/2052
1,257,803
2,000,000
4.750%, 
2/15/2033
1,861,571
EPR
Properties
1,976,000
4.950%, 
4/15/2028
1,750,882
3,700,000
3.750%, 
8/15/2029
2,972,291
Extra
Space
Storage,
LP
2,000,000
5.500%, 
7/1/2030
1,933,941
First
Horizon
Bank
2,000,000
5.750%, 
5/1/2030
d
1,790,150
First
Horizon
National
Corporation
2,900,000
4.000%, 
5/26/2025
2,738,108
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Financials
(33.8%)
-
continued
First-Citizens
Bank
&
Trust
Company
$
5,350,000
6.125%, 
3/9/2028
$
5,313,890
FS
KKR
Capital
Corporation
4,848,000
4.250%, 
2/14/2025
a
4,641,933
Glitnir
HoldCo
ehf.,
Convertible
362
Zero
Coupon, 
12/31/2030
g,h
0
Goldman
Sachs
Group,
Inc.
3,200,000
4.950%, 
2/10/2025
b,e
2,963,275
3,100,000
3.691%, 
6/5/2028
b
2,856,936
4,250,000
3.814%, 
4/23/2029
b
3,859,154
1,100,000
4.223%, 
5/1/2029
b
1,017,532
7,800,000
3.102%, 
2/24/2033
b
6,237,713
HSBC
Holdings
plc
3,470,000
4.041%, 
3/13/2028
b
3,211,298
ING
Groep
NV
2,600,000
6.083%, 
9/11/2027
b
2,588,446
Intercontinental
Exchange,
Inc.
1,200,000
4.950%, 
6/15/2052
1,038,943
1,350,000
4.350%, 
6/15/2029
1,269,900
Invitation
Homes
Operating
Partnership,
LP
1,500,000
2.300%, 
11/15/2028
1,255,030
1,750,000
5.450%, 
8/15/2030
1,666,603
1,500,000
2.000%, 
8/15/2031
1,110,061
J.P.
Morgan
Chase
&
Company
1,850,000
8.884%, 
(TSFR3M
+
3.512%),
11/1/2023
b,d,e
1,853,533
2,200,000
2.956%, 
5/13/2031
b
1,807,574
1,200,000
2.580%, 
4/22/2032
b
946,591
2,900,000
2.545%, 
11/8/2032
b
2,244,293
2,700,000
2.963%, 
1/25/2033
b
2,149,543
4,800,000
4.586%, 
4/26/2033
b
4,326,937
3,700,000
4.912%, 
7/25/2033
b
3,404,184
2,500,000
5.717%, 
9/14/2033
b
2,403,202
KeyBank
NA/Cleveland,
OH
2,800,000
4.150%, 
8/8/2025
2,636,787
KeyCorp
2,900,000
2.250%, 
4/6/2027
2,462,848
Kilroy
Realty,
LP
2,550,000
4.250%, 
8/15/2029
2,184,629
Lloyds
Banking
Group
plc
1,900,000
2.438%, 
2/5/2026
b
1,800,292
910,000
4.650%, 
3/24/2026
871,320
2,000,000
5.985%, 
8/7/2027
b
1,981,990
M&T
Bank
Corporation
2,200,000
3.500%, 
9/1/2026
b,e
1,547,127
Massachusetts
Mutual
Life
Insurance
Company
4,600,000
3.200%, 
12/1/2061
*
2,587,405
Metropolitan
Life
Global
Funding
I
4,450,000
4.300%, 
8/25/2029
a
4,160,830
Mitsubishi
UFJ
Financial
Group,
Inc.
1,165,000
5.541%, 
4/17/2026
b
1,154,767
2,750,000
5.133%, 
7/20/2033
b
2,574,519
Mizuho
Financial
Group,
Inc.
2,100,000
1.979%, 
9/8/2031
b
1,591,078
Morgan
Stanley
1,860,000
8.831%, 
(TSFR3M
+
3.422%),
12/15/2025
b,e
1,905,226
2,510,000
4.350%, 
9/8/2026
2,393,232
1,500,000
5.123%, 
2/1/2029
b
1,444,524
1,300,000
5.449%, 
7/20/2029
b
1,266,809
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
138
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Financials
(33.8%)
-
continued
$
3,350,000
3.622%, 
4/1/2031
b
$
2,885,937
3,100,000
1.794%, 
2/13/2032
b
2,295,698
3,000,000
2.943%, 
1/21/2033
b
2,362,524
1,050,000
4.889%, 
7/20/2033
b
954,057
3,600,000
6.342%, 
10/18/2033
b
3,620,517
2,100,000
5.297%, 
4/20/2037
b
1,871,133
Nationwide
Building
Society
1,356,000
4.000%, 
9/14/2026
a
1,257,773
Nationwide
Mutual
Insurance
Company
2,725,000
4.350%, 
4/30/2050
a
1,946,910
NatWest
Group
plc
1,000,000
3.754%, 
11/1/2029
b
952,142
3,600,000
3.032%, 
11/28/2035
b
2,709,426
New
York
Life
Global
Funding
3,150,000
4.550%, 
1/28/2033
a
2,887,779
NNN
REIT,
Inc.
1,100,000
5.600%, 
10/15/2033
1,036,457
Nomura
Holdings,
Inc.
3,500,000
5.709%, 
1/9/2026
3,462,967
Omega
Healthcare
Investors,
Inc.
2,333,000
4.750%, 
1/15/2028
2,159,082
1,180,000
3.625%, 
10/1/2029
983,665
Peachtree
Corners
Funding
Trust
2,800,000
3.976%, 
2/15/2025
a
2,703,098
PNC
Financial
Services
Group,
Inc.
3,500,000
6.250%, 
3/15/2030
b,e
3,000,251
4,000,000
5.068%, 
1/24/2034
b
3,627,396
Prologis,
LP
1,750,000
1.750%, 
2/1/2031
1,339,826
Prudential
Financial,
Inc.
1,320,000
5.125%, 
3/1/2052
b
1,136,710
1,725,000
5.200%, 
3/15/2044
b
1,687,703
2,750,000
3.700%, 
10/1/2050
b
2,236,536
Public
Storage
Operating
Company
1,750,000
5.125%, 
1/15/2029
1,722,259
Realty
Income
Corporation
3,100,000
3.400%, 
1/15/2028
2,822,774
2,950,000
4.850%, 
3/15/2030
2,780,225
Regency
Centers,
LP
1,560,000
3.600%, 
2/1/2027
1,458,351
2,250,000
3.700%, 
6/15/2030
1,957,516
Simon
Property
Group,
LP
3,100,000
3.250%, 
9/13/2049
1,919,145
Spirit
Realty,
LP
1,900,000
2.100%, 
3/15/2028
1,599,266
3,250,000
3.400%, 
1/15/2030
2,720,834
1,850,000
3.200%, 
2/15/2031
1,494,397
Standard
Chartered
plc
2,900,000
0.991%, 
1/12/2025
a,b
2,852,002
Sumitomo
Mitsui
Financial
Group,
Inc.
4,100,000
5.808%, 
9/14/2033
3,983,582
Synchrony
Financial
450,000
4.250%, 
8/15/2024
439,471
Synovus
Bank
1,740,000
5.625%, 
2/15/2028
1,576,565
Toronto-Dominion
Bank
1,750,000
5.532%, 
7/17/2026
1,737,245
Truist
Financial
Corporation
1,400,000
6.047%, 
6/8/2027
b
1,384,771
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Financials
(33.8%)
-
continued
$
1,762,000
5.125%, 
12/15/2027
b,d,e
$
1,353,568
U.S.
Bancorp
2,650,000
5.727%, 
10/21/2026
b
2,627,956
2,850,000
5.775%, 
6/12/2029
b
2,774,133
UBS
Group
AG
1,450,000
4.875%, 
2/12/2027
a,b,e
1,213,958
3,100,000
4.282%, 
1/9/2028
a
2,850,236
6,100,000
3.869%, 
1/12/2029
a,b
5,525,278
250,000
3.091%, 
5/14/2032
a,b
197,462
8,550,000
6.537%, 
8/12/2033
a,b
8,450,079
UnitedHealth
Group,
Inc.
1,700,000
5.875%, 
2/15/2053
1,706,048
3,600,000
4.950%, 
5/15/2062
3,103,224
1,240,000
4.750%, 
7/15/2045
1,076,309
1,975,000
4.450%, 
12/15/2048
1,629,218
Wells
Fargo
&
Company
3,200,000
3.526%, 
3/24/2028
b
2,938,795
3,200,000
2.393%, 
6/2/2028
b
2,806,301
3,500,000
7.625%, 
9/15/2028
b,e
3,528,584
4,250,000
4.478%, 
4/4/2031
b
3,855,801
3,300,000
4.897%, 
7/25/2033
b
2,986,501
Welltower
OP,
LLC
2,500,000
2.050%, 
1/15/2029
2,066,420
Westpac
Banking
Corporation
1,900,000
2.894%, 
2/4/2030
b
1,791,068
3,150,000
2.963%, 
11/16/2040
1,915,770
Willis
North
America,
Inc.
3,600,000
4.650%, 
6/15/2027
3,445,749
Total
426,453,815
Foreign
Government
(0.4%)
Dominican
Republic
Government
International
Bond
950,000
6.000%, 
7/19/2028
a
900,988
4,800,000
6.000%, 
2/22/2033
a
4,232,448
Total
5,133,436
Mortgage-Backed
Securities
(1.8%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
22,847,281
5.500%, 
7/1/2053
22,167,729
Total
22,167,729
Technology
(4.6%)
Apple,
Inc.
1,900,000
2.700%, 
8/5/2051
1,156,952
2,250,000
3.950%, 
8/8/2052
1,764,530
1,920,000
3.750%, 
9/12/2047
1,484,079
Broadcom,
Inc.
2,332,000
3.469%, 
4/15/2034
a
1,831,579
3,600,000
3.137%, 
11/15/2035
a
2,624,694
2,700,000
3.187%, 
11/15/2036
a
1,938,568
2,700,000
4.926%, 
5/15/2037
a
2,327,202
Dell
International,
LLC/EMC
Corporation
2,072,000
6.020%, 
6/15/2026
2,080,079
1,300,000
6.100%, 
7/15/2027
1,316,179
1,087,000
8.350%, 
7/15/2046
1,270,481
Equinix,
Inc.
2,700,000
2.000%, 
5/15/2028
2,277,022
Fiserv,
Inc.
3,000,000
2.650%, 
6/1/2030
2,464,382
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
139
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Technology
(4.6%)
-
continued
$
3,500,000
5.600%, 
3/2/2033
$
3,392,146
Global
Payments,
Inc.
1,100,000
5.300%, 
8/15/2029
1,049,011
1,700,000
5.400%, 
8/15/2032
1,593,498
Intel
Corporation
1,650,000
4.875%, 
2/10/2028
1,618,592
Marvell
Technology,
Inc.
1,900,000
4.875%, 
6/22/2028
1,815,354
2,100,000
2.950%, 
4/15/2031
1,698,945
Mastercard,
Inc.
1,750,000
4.850%, 
3/9/2033
1,690,288
NXP
BV/NXP
Funding,
LLC
1,800,000
5.550%, 
12/1/2028
1,761,817
NXP
BV/NXP
Funding,
LLC/NXP
USA,
Inc.
1,400,000
3.150%, 
5/1/2027
1,276,557
1,900,000
4.300%, 
6/18/2029
1,740,600
2,650,000
3.250%, 
5/11/2041
1,782,902
Oracle
Corporation
3,600,000
3.950%, 
3/25/2051
2,467,962
4,200,000
6.150%, 
11/9/2029
4,263,644
2,700,000
4.300%, 
7/8/2034
2,322,143
2,650,000
4.000%, 
7/15/2046
1,869,950
Texas
Instruments,
Inc.
2,900,000
5.000%, 
3/14/2053
2,627,613
VMware,
Inc.
3,100,000
2.200%, 
8/15/2031
2,339,357
Total
57,846,126
Transportation
(2.6%)
American
Airlines,
Inc.
3,150,000
11.750%, 
7/15/2025
a
3,386,227
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
2,035,000
5.500%, 
4/20/2026
a
1,987,509
2,100,000
5.750%, 
4/20/2029
a
1,953,105
Burlington
Northern
Santa
Fe,
LLC
2,500,000
4.700%, 
9/1/2045
2,131,324
2,700,000
4.050%, 
6/15/2048
2,083,916
Canadian
Pacific
Railway
Company
1,900,000
4.700%, 
5/1/2048
1,572,693
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.
4,100,000
4.750%, 
10/20/2028
a
3,896,406
ERAC
USA
Finance,
LLC
3,030,000
4.200%, 
11/1/2046
a
2,330,297
FedEx
Corporation
2,500,000
3.250%, 
5/15/2041
1,724,901
Mileage
Plus
Holdings,
LLC
4,125,000
6.500%, 
6/20/2027
a
4,087,056
Norfolk
Southern
Corporation
5,250,000
4.450%, 
3/1/2033
4,794,150
Southwest
Airlines
Company
2,125,000
2.625%, 
2/10/2030
1,750,762
United
Airlines
Pass
Through
Trust
879,802
3.750%, 
9/3/2026
822,763
United
Airlines,
Inc.
350,000
4.375%, 
4/15/2026
a
323,677
300,000
4.625%, 
4/15/2029
a
257,859
Total
33,102,645
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
U.S.
Government
&
Agencies
(5.5%)
U.S.
Treasury
Bonds
$
31,400,000
3.625%, 
5/15/2053
$
25,998,219
4,500,000
4.125%, 
8/15/2053
4,085,156
4,500,000
2.250%, 
5/15/2041
3,087,422
1,850,000
4.000%, 
11/15/2042
1,642,020
11,000,000
3.875%, 
2/15/2043
9,573,437
5,500,000
4.375%, 
8/15/2043
5,131,328
U.S.
Treasury
Notes
21,330,000
3.500%, 
2/15/2033
19,570,275
Total
69,087,857
Utilities
(8.1%)
AEP
Transmission
Company,
LLC
1,500,000
5.400%, 
3/15/2053
1,393,875
American
Electric
Power
Company,
Inc.
3,200,000
3.875%, 
2/15/2062
b,d
2,604,153
1,750,000
5.625%, 
3/1/2033
1,693,398
American
Water
Capital
Corporation
1,700,000
3.450%, 
5/1/2050
1,157,034
Arizona
Public
Service
Company
2,550,000
5.550%, 
8/1/2033
2,471,898
Berkshire
Hathaway
Energy
Company
2,575,000
4.450%, 
1/15/2049
1,992,288
CenterPoint
Energy
Resources
Corporation
2,800,000
1.750%, 
10/1/2030
2,165,449
CenterPoint
Energy,
Inc.
2,250,000
2.950%, 
3/1/2030
1,885,652
2,150,000
2.650%, 
6/1/2031
1,717,204
Consolidated
Edison
Company
of
New
York,
Inc.
2,376,000
3.850%, 
6/15/2046
1,699,759
2,750,000
4.125%, 
5/15/2049
2,039,747
Constellation
Energy
Generation,
LLC
2,600,000
5.800%, 
3/1/2033
2,535,089
Dominion
Energy,
Inc.
2,250,000
4.650%, 
12/15/2024
b,e
2,059,563
2,650,000
4.350%, 
1/15/2027
b,e
2,288,042
Duke
Energy
Corporation
4,300,000
3.250%, 
1/15/2082
b
3,168,025
2,250,000
3.500%, 
6/15/2051
1,457,641
4,000,000
5.000%, 
8/15/2052
3,325,063
2,840,000
3.150%, 
8/15/2027
2,587,725
2,700,000
3.750%, 
9/1/2046
1,866,226
Edison
International
5,600,000
5.750%, 
6/15/2027
5,548,180
Enel
Finance
America,
LLC
2,900,000
7.100%, 
10/14/2027
a
2,999,960
2,250,000
2.875%, 
7/12/2041
a
1,340,715
Entergy
Corporation
3,000,000
2.400%, 
6/15/2031
2,337,146
Eversource
Energy
1,900,000
5.450%, 
3/1/2028
1,877,986
Exelon
Corporation
1,800,000
4.100%, 
3/15/2052
1,301,722
FirstEnergy
Corporation
3,480,000
4.150%, 
7/15/2027
3,234,558
2,800,000
5.100%, 
7/15/2047
2,376,242
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
140
Principal
Amount
Long-Term
Fixed
Income
(96.2%)
Value
Utilities
(8.1%)
-
continued
FirstEnergy
Transmission,
LLC
$
3,300,000
2.866%, 
9/15/2028
a
$
2,861,107
3,150,000
5.450%, 
7/15/2044
a
2,758,342
Georgia
Power
Company
3,000,000
3.250%, 
3/15/2051
1,900,815
Indiana
Michigan
Power
Company
1,000,000
5.625%, 
4/1/2053
943,219
National
Rural
Utilities
Cooperative
Finance
Corporation
1,600,000
4.400%, 
11/1/2048
1,249,420
Nevada
Power
Company
825,000
6.000%, 
3/15/2054
805,615
NextEra
Energy
Capital
Holdings,
Inc.
2,400,000
5.749%, 
9/1/2025
2,393,261
NiSource
Finance
Corporation
1,920,000
4.375%, 
5/15/2047
1,471,203
NiSource,
Inc.
1,950,000
3.600%, 
5/1/2030
1,698,585
NRG
Energy,
Inc.
1,700,000
4.450%, 
6/15/2029
a
1,474,313
Oncor
Electric
Delivery
Company,
LLC
2,490,000
3.750%, 
4/1/2045
1,840,688
Pacific
Gas
and
Electric
Company
1,900,000
3.300%, 
12/1/2027
1,678,727
4,300,000
4.550%, 
7/1/2030
3,801,022
Public
Service
Company
of
Colorado
1,800,000
4.500%, 
6/1/2052
1,404,375
San
Diego
Gas
&
Electric
Company
2,700,000
4.150%, 
5/15/2048
2,052,169
Sempra
2,700,000
3.250%, 
6/15/2027
2,467,935
Southern
Company
150,000
4.475%, 
8/1/2024
147,824
2,500,000
5.700%, 
10/15/2032
2,455,570
1,700,000
4.000%, 
1/15/2051
b
1,572,470
2,150,000
3.750%, 
9/15/2051
b
1,875,224
Vistra
Operations
Company,
LLC
1,800,000
4.875%, 
5/13/2024
a
1,779,408
1,800,000
5.125%, 
5/13/2025
a
1,753,960
Total
101,509,592
Total
Long-Term
Fixed
Income
(cost
$1,388,009,929)
1,212,204,352
Shares
Collateral
Held
for
Securities
Loaned
(
0.9%
)
Value
11,761,721
Thrivent
Cash
Management
Trust
11,761,721
Total
Collateral
Held
for
Securities
Loaned
(cost
$11,761,721)
11,761,721
Shares
Common
Stock
(
<0.1%
)
Value
Communications
Services
(<0.1%)
426
Windstream
Services,
LLC
i
4,047
Total
4,047
Shares
Common
Stock
(<0.1%)
Value
Financials
(<0.1%)
2,247
Glitnir
HoldCo
ehf.
h,i
$
0
Total
0
Total
Common
Stock
(cost
$5,112)
4,047
Shares
or
Principal
Amount
Short-Term
Investments
(
2.6%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
800,000
5.250%,
10/17/2023
j,k
798,293
500,000
5.270%,
10/25/2023
j,k
498,365
300,000
5.315%,
12/13/2023
j,k
296,929
300,000
5.315%,
12/15/2023
j,k
296,844
Thrivent
Core
Short-Term
Reserve
Fund
2,826,808
5.650%
28,268,079
U.S.
Treasury
Bills
1,900,000
5.307%,
12/14/2023
j,l
1,879,580
Total
Short-Term
Investments
(cost
$32,036,614)
32,038,090
Total
Investments
(cost
$1,431,813,376)
99.7%
$1,256,008,210
Other
Assets
and
Liabilities,
Net
0.3%
4,389,986
Total
Net
Assets
100.0%
$1,260,398,196
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$227,970,734
or
18.1%
of
total
net
assets.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
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
security
is
insured
or
guaranteed.
d
All
or
a
portion
of
the
security
is
on
loan.
e
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.
f
Defaulted
security.  Interest
is
not
being
accrued.
g
Principal
amount
is
displayed
in
Euros.
h
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
i
Non-income
producing
security.
j
The
interest
rate
shown
reflects
the
yield.
k
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.
l
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.
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
141
*
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
Income
Portfolio
as
of
September
29,
2023
was
$2,772,655
or
0.22%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
29,
2023.
Security
Acquisition
Date
Cost
Credit
Suisse
Group
AG,
12/29/2049
7/9/2018
$
1,950,000
Massachusetts
Mutual
Life
Insurance
Company,
12/1/2061
11/18/2021
4,563,982
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Income
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
11,308,027
Total
lending
$11,308,027
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$11,761,721
Net
amounts
due
to
counterparty
$453,694
Definitions:
CLO
-
Collateralized
Loan
Obligation
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
Reference
Rate
Index:
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
142
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Income
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Asset-Backed
Securities
32,848,458
32,848,458
Basic
Materials
13,019,094
13,019,094
Capital
Goods
66,214,264
66,214,264
Collateralized
Mortgage
Obligations
49,869
49,869
Communications
Services
91,030,824
91,030,824
Consumer
Cyclical
73,811,367
73,811,367
Consumer
Non-Cyclical
138,938,342
138,938,342
Energy
80,990,934
80,990,934
Financials^
426,453,815
1,644,312
424,809,503
0
Foreign
Government
5,133,436
5,133,436
Mortgage-Backed
Securities
22,167,729
22,167,729
Technology
57,846,126
57,846,126
Transportation
33,102,645
33,102,645
U.S.
Government
&
Agencies
69,087,857
69,087,857
Utilities
101,509,592
101,509,592
Common
Stock
Communications
Services
4,047
4,047
Financials^
0
Short-Term
Investments
3,770,011
3,770,011
Subtotal
Investments
in
Securities
$1,215,978,410
$1,644,312
$1,214,334,098
$0
Other
Investments  *
Total
Affiliated
Short-Term
Investments
28,268,079
Collateral
Held
for
Securities
Loaned
11,761,721
Subtotal
Other
Investments
$40,029,800
Total
Investments
at
Value
$1,256,008,210
*
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
the
table
above
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.
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Income
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Credit
Default
Swaps
16,851
16,851
Total
Asset
Derivatives
$16,851
$–
$16,851
$–
Liability
Derivatives
Futures
Contracts
2,467,932
2,467,932
Total
Liability
Derivatives
$2,467,932
$2,467,932
$–
$–
The
following
table
presents
Income
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$1,890,431
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
U.S.
Long
Bond
164
December
2023
$
19,743,697
(
$
1,083,572)
Ultra
10-Yr.
U.S.
Treasury
Note
390
December
2023
44,893,735
(
1,384,360)
Total
Futures
Long
Contracts
$
64,637,432
(
$
2,467,932)
Total
Futures
Contracts
$
64,637,432
($2,467,932)
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
143
The
following
table
presents
Income
Portfolio's
swaps
contracts
held
as
of
September
29,
2023.
Investments
totaling
$1,879,580
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
41,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2028
$
26,000,000
$
$
16,851
$
16,851
Total
Credit
Default
Swaps
$–
$16,851
$16,851
1
As
the
buyer
of
protection,
Income
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,
Income
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
Income
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
Income
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$52,657
$265,225
$289,614
$28,268
2,827
2.3%
Total
Affiliated
Short-Term
Investments
52,657
28,268
2.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
7,764
99,675
95,677
11,762
11,762
0.9
Total
Collateral
Held
for
Securities
Loaned
7,764
11,762
0.9
Total
Value
$60,421
$40,030
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$0
($0)
$
$1,532
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1,532
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
101
Total
Affiliated
Income
from
Securities
Loaned,
Net
$101
Total
Value
$0
($0)
$
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
144
Shares
Common
Stock
(
96.1%
)
Value
Australia
(6.0%)
33,287
29Metals,
Ltd.
a
$
14,721
42,564
ALS,
Ltd.
312,630
3,790
Altium,
Ltd.
104,634
903,247
AMP,
Ltd.
724,967
17,185
Ampol,
Ltd.
371,027
11,552
Ansell,
Ltd.
163,794
312,889
Aristocrat
Leisure,
Ltd.
8,174,684
429,561
Aurizon
Holdings,
Ltd.
960,464
242,865
Australia
and
New
Zealand
Banking
Group,
Ltd.
3,983,393
22,306
Australian
Ethical
Investment,
Ltd.
61,849
390,819
BHP
Group,
Ltd.
10,978,437
374,617
BlueScope
Steel,
Ltd.
4,639,072
238,281
Brambles,
Ltd.
2,188,978
40,102
Brickworks,
Ltd.
640,739
41,541
Capricorn
Metals,
Ltd.
a
108,618
99,931
Carsales.com,
Ltd.
1,790,203
274,200
Charter
Hall
Retail
REIT
549,923
240,509
Coles
Group,
Ltd.
2,400,486
87,541
Collins
Foods,
Ltd.
535,322
67,970
Computershare,
Ltd.
1,132,689
86,629
CSL,
Ltd.
13,956,202
55,669
CSR,
Ltd.
200,622
35,007
Data#3,
Ltd.
158,686
99,440
Deterra
Royalties,
Ltd.
303,947
60,018
DEXUS
Property
Group
279,774
6,914
Event
Hospitality
and
Entertainment,
Ltd.
48,594
224,006
GrainCorp,
Ltd.
1,012,235
228,488
Growthpoint
Properties
Australia,
Ltd.
322,403
513,769
GWA
Group,
Ltd.
607,181
11,562
Hansen
Technologies,
Ltd.
39,207
97,154
Helia
Group,
Ltd.
217,610
11,470
HUB24,
Ltd.
238,591
487,851
Humm
Group,
Ltd.
138,012
1,949
Iluka
Resources,
Ltd.
9,518
57,701
Incitec
Pivot,
Ltd.
115,619
52,837
Inghams
Group,
Ltd.
112,313
142,937
IRESS,
Ltd.
531,677
36,716
JB
Hi-Fi,
Ltd.
1,066,437
12,264
Johns
Lyng
Group,
Ltd.
51,200
62,005
Karoon
Gas
Australia,
Ltd.
a
103,880
1,420,259
Lottery
Corporation,
Ltd.
4,292,039
69,824
NRW
Holdings,
Ltd.
120,888
48,747
Nufarm,
Ltd.
147,683
471,079
Orora,
Ltd.
828,731
422,937
Perseus
Mining,
Ltd.
441,606
8,053
PEXA
Group,
Ltd.
a
58,676
65,536
Premier
Investments,
Ltd.
1,045,323
694
REA
Group,
Ltd.
68,541
42,666
Region
RE,
Ltd.
55,083
49,606
Rio
Tinto,
Ltd.
3,577,978
6,490
Sandfire
Resources,
Ltd.
a
25,286
109,470
SEEK,
Ltd.
1,546,494
18,702
Seven
Group
Holdings,
Ltd.
372,515
19,299
Sims,
Ltd.
166,011
5,029
Sonic
Healthcare,
Ltd.
96,029
21,346
Super
Retail
Group,
Ltd.
163,116
345,505
Tabcorp
Holdings,
Ltd.
208,193
106,752
Technology
One,
Ltd.
1,058,634
198,137
Ventia
Services
Group
Pty,
Ltd.
358,579
17,144
Viva
Energy
Group,
Ltd.
b
32,858
155,754
Waypoint
REIT,
Ltd.
224,060
77,576
Wesfarmers,
Ltd.
2,625,483
Shares
Common
Stock
(96.1%)
Value
Australia
(6.0%)
-
continued
58,097
West
African
Resources,
Ltd.
a
$
28,398
Total
76,892,542
Austria
(0.4%)
17,901
BAWAG
Group
AG
b
818,184
58,106
OMV
AG
2,775,409
10,899
Verbund
AG
886,652
25,302
Wienerberger
AG
640,402
Total
5,120,647
Belgium
(0.6%)
8,987
Bekaert
SA
402,339
52,730
Groupe
Bruxelles
Lambert
SA
3,923,653
2,883
Melexis
NV
248,125
20,736
Solvay
SA
2,291,522
801
Titan
Cement
International
SA
14,989
11,542
UCB
SA
945,397
Total
7,826,025
Bermuda
(0.1%)
152,000
Cafe
de
Coral
Holdings,
Ltd.
164,258
44,500
CK
Infrastructure
Holdings,
Ltd.
209,967
22,100
Hongkong
Land
Holdings,
Ltd.
78,815
26,500
Jardine
Matheson
Holdings,
Ltd.
1,230,130
340,000
Road
King
Infrastructure,
Ltd.
a
76,481
212,400
Shanghai
Industrial
Urban
Development
Group,
Ltd.
10,004
Total
1,769,655
Brazil
(0.5%)
8,900
Alupar
Investimento
SA
51,029
19,900
Ambev
SA
51,942
61,500
B3
SA
-
Brasil
Bolsa
Balcao
150,124
44,710
Banco
Bradesco
SA
ADR
127,423
3,000
Banco
BTG
Pactual
SA
18,520
44,400
Banco
do
Brasil
SA
417,364
47,034
Companhia
Energetica
de
Minas
Gerais
ADR
113,822
11,325
Companhia
Siderurgica
Nacional
SA
ADR
27,067
40,800
CPFL
Energia
SA
274,595
17,100
ENGIE
Brasil
Energia
SA
141,044
51,204
Gerdau
SA
ADR
244,243
715,800
Grupo
Casas
Bahia
SA
a
89,714
15,800
Guararapes
Confeccoes
SA
a
16,597
44,200
Hypera
SA
327,638
33,400
Iochpe-Maxion
SA
90,701
58,500
Itau
Unibanco
Holding
SA
ADR
314,145
135,900
Itausa
SA
244,409
10,900
Jalles
Machado
SA
18,649
345
Jalles
Machado
SA,
Common
Receipt
a,c
590
49,000
JBS
S/A
175,956
3,800
Localiza
Rent
a
Car
SA
44,376
27
Localiza
Rent
a
Car
SA,
Rights
a
96
47,000
Metalurgica
Gerdau
SA
104,163
114,678
Petroleo
Brasileiro
SA
786,642
50,654
Petroleo
Brasileiro
SA
ADR
759,304
32,500
Randon
SA
Implementos
e
Participacoes
75,842
49,400
Telefonica
Brasil
SA
422,301
11,032
Telefonica
Brasil
SA
ADR
94,324
158,600
TIM
SA/Brazil
471,709
59,603
Vale
SA
ADR
798,680
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
145
Shares
Common
Stock
(96.1%)
Value
Brazil
(0.5%)
-
continued
2,700
WEG
SA
$
19,520
Total
6,472,529
Canada
(8.1%)
59,362
ATCO,
Ltd.
1,503,444
35,158
Bank
of
Montreal
2,965,878
80,027
Bank
of
Nova
Scotia
3,587,001
531,666
Barrick
Gold
Corporation
7,723,004
31,568
Boralex,
Inc.
678,192
2,319
BRP,
Inc.
175,532
76,070
Canadian
Imperial
Bank
of
Commerce
2,936,389
107,956
Canadian
National
Railway
Company
11,690,961
133,945
Canadian
Utilities,
Ltd.
2,830,275
34,458
Canadian
Western
Bank
713,895
29,491
Capital
Power
Corporation
823,338
45,942
CGI,
Inc.
a
4,528,412
14,772
Cogeco
Communications,
Inc.
683,759
33,266
Dream
Industrial
REIT
314,475
43,028
Enbridge,
Inc.
1,427,139
22,345
Finning
International,
Inc.
659,040
83,323
Fortis,
Inc.
3,164,832
9,085
George
Weston,
Ltd.
1,007,527
31,196
Imperial
Oil,
Ltd.
1,921,485
4,481
Intact
Financial
Corporation
653,287
19,725
InterRent
REIT
181,384
12,579
Laurentian
Bank
of
Canada
280,336
24,555
Loblaw
Companies,
Ltd.
2,086,249
236,563
Manulife
Financial
Corporation
4,322,837
64,524
Metro,
Inc./CN
3,351,020
10,002
National
Bank
of
Canada
664,444
1,525
Onex
Corporation
89,631
227,137
Power
Corporation
of
Canada
5,782,733
33,360
Rogers
Communications,
Inc.
1,280,857
75,843
Royal
Bank
of
Canada
6,628,061
27,461
Russel
Metals,
Inc.
768,685
87,157
Shopify,
Inc.
a
4,756,157
14,069
Sun
Life
Financial,
Inc.
686,437
77,380
Superior
Plus
Corporation
584,516
194,349
TC
Energy
Corporation
6,683,631
40,227
Toromont
Industries,
Ltd.
3,276,209
99,161
Toronto-Dominion
Bank
5,974,117
113,875
Tourmaline
Oil
Corporation
5,730,430
49,214
TransAlta
Corporation
428,641
2,021
TransAlta
Renewables,
Inc.
18,287
15,619
West
Fraser
Timber
Company,
Ltd.
1,133,952
Total
104,696,479
Cayman
Islands
(1.4%)
304,300
Alibaba
Group
Holding,
Ltd.
a
3,299,277
16,000
ANTA
Sports
Products,
Ltd.
179,030
46,100
ASMPT,
Ltd.
410,735
7,557
Baidu.com,
Inc.
ADR
a
1,015,283
9,000
China
Mengniu
Dairy
Company,
Ltd.
30,020
138,000
Chow
Tai
Fook
Jewellery
Group,
Ltd.
207,193
154,000
Consun
Pharmaceutical
Group,
Ltd.
99,792
63,000
Geely
Automobile
Holdings,
Ltd.
73,882
186,000
Haidilao
International
Holding,
Ltd.
b
495,938
43,094
Hello
Group,
Inc.
ADR
300,796
14,130
Huazhu
Group,
Ltd.
ADR
a
557,146
16,483
JD.com,
Inc.
239,808
Shares
Common
Stock
(96.1%)
Value
Cayman
Islands
(1.4%)
-
continued
2,077
JOYY,
Inc.
ADR
$
79,155
16,774
KE
Holdings,
Inc.
ADR
260,333
60,100
Kuaishou
Technology
a,b
478,138
89,352
Meituan
a,b
1,293,477
3,947
MINISO
Group
Holding,
Ltd.
ADR
102,227
25,000
NetDragon
Websoft
Holdings,
Ltd.
46,074
7,447
NetEase,
Inc.
ADR
745,892
10,130
PDD
Holdings,
Inc.
ADR
a
993,449
24,000
Seazen
Group,
Ltd.
a
4,362
1,130,500
Shui
On
Land,
Ltd.
102,322
196,000
Sino
Biopharmaceutical,
Ltd.
70,551
126,724
Tencent
Holdings,
Ltd.
4,912,324
69,369
Tencent
Music
Entertainment
Group
ADR
a
442,574
39,500
Texhong
International
Group,
Ltd.
a
21,843
169,600
Tongcheng
Travel
Holdings,
Ltd.
a
370,964
267,000
Topsports
International
Holdings,
Ltd.
b
201,863
12,371
Trip.com
Group,
Ltd.
ADR
a
432,614
210,000
VSTECS
Holdings,
Ltd.
117,740
8,000
Want
Want
China
Holdings,
Ltd.
5,214
286,800
Xiaomi
Corporation
a,b
449,303
33,500
Zhongsheng
Group
Holdings,
Ltd.
93,796
Total
18,133,115
Chile
(<0.1%)
100,496
Cencosud
SA
190,554
1,042,968
Colbun
SA
142,012
34,212
Embotelladora
Andina
SA
76,959
17,826
Empresas
CMPC
SA
32,820
44,656
S.A.C.I.
Falabella
99,782
Total
542,127
China
(1.1%)
657,700
Agricultural
Bank
of
China,
Ltd.
324,465
642,400
Aluminum
Corporation
of
China,
Ltd.,
Class
A
554,011
814,000
Aluminum
Corporation
of
China,
Ltd.,
Class
H
452,809
1,874,500
Bank
of
China,
Ltd.,
Class
A
968,858
736,700
Bank
of
Communications
Company,
Ltd.
582,079
689,400
Baoshan
Iron
&
Steel
Company,
Ltd.
576,054
34,000
Beijing
North
Star
Company,
Ltd.
a
3,554
12,800
Beijing
Tongrentang
Company,
Ltd.
95,999
678,900
BOE
Technology
Group
Company,
Ltd.
359,470
4,000
BYD
Company,
Ltd.,
Class
H
123,241
1,278,000
CGN
Power
Company,
Ltd.
b
330,850
591,000
China
Cinda
Asset
Management
Company,
Ltd.
59,372
57,000
China
Construction
Bank
Corporation
32,043
129,300
China
Merchants
Securities
Company,
Ltd.
248,716
971,100
China
Petroleum
&
Chemical
Corporation,
Class
H
528,167
391,000
China
Railway
Group,
Ltd.
201,082
12,900
China
Resources
Sanjiu
Medical
&
Pharmaceutical
Company,
Ltd.
88,519
86,100
China
State
Construction
Engineering
Corporation,
Ltd.
65,413
68,700
CITIC
Securities
Company,
Ltd.,
Class
A
205,184
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
146
Shares
Common
Stock
(96.1%)
Value
China
(1.1%)
-
continued
762,000
CMOC
Group,
Ltd.
$
486,129
953,000
CRRC
Corporation,
Ltd.
459,249
147,500
Focus
Media
Information
Technology
Company,
Ltd.
144,676
264,700
Foxconn
Industrial
Internet
Company,
Ltd.
717,851
37,600
Fuyao
Glass
Industry
Group
Company,
Ltd.,
Class
H
b
171,994
88,400
GF
Securities
Company,
Ltd.,
Class
H
118,110
1,338,300
Greenland
Holdings
Corporation,
Ltd.
a
503,698
79,084
Guangzhou
Baiyunshan
Pharmaceutical
Holdings,
Ltd.
340,198
198,900
Guotai
Junan
Securities
Company,
Ltd.
397,628
51,400
Haier
Smart
Home
Company,
Ltd.,
Class
H
160,654
22,800
Huatai
Securities
Company,
Ltd.
b
29,070
72,300
Jiangxi
Copper
Company,
Ltd.,
Class
A
191,037
365,000
Jiangxi
Copper
Company,
Ltd.,
Class
H
569,344
185,287
Jointown
Pharmaceutical
Group
Company,
Ltd.
274,732
1,141,000
People's
Insurance
Company
(Group)
of
China,
Ltd.
408,174
193,900
PetroChina
Company,
Ltd.,
Class
A
211,904
816,000
PetroChina
Company,
Ltd.,
Class
H
611,537
103,278
Ping
An
Insurance
(Group)
Company
of
China,
Ltd.
585,756
5,000
Shanghai
Pharmaceuticals
Holding
Company,
Ltd.,
Class
A
12,387
44,200
Shanghai
Pharmaceuticals
Holding
Company,
Ltd.,
Class
H
68,820
483,400
Shenwan
Hongyuan
Group
Company,
Ltd.
287,421
288,000
Shenzhen
Overseas
Chinese
Town
Company,
Ltd.
a
167,629
26,300
Shenzhou
International
Group
Holdings,
Ltd.
250,103
7,500
Sichuan
Kelun
Pharmaceutical
Company,
Ltd.
29,963
145,000
Tong
Ren
Tang
Technologies
Company,
Ltd.
114,989
24,000
Tsingtao
Brewery
Company,
Ltd.
195,431
33,920
Vipshop
Holdings,
Ltd.
ADR
a
543,059
130,100
Wanda
Film
Holding
Company,
Ltd.
a
241,351
54,800
Yunnan
Baiyao
Group
Company,
Ltd.
400,738
12,500
Zhongjin
Gold
Corporation,
Ltd.
18,666
Total
14,512,184
Colombia
(<0.1%)
2,269
Bancolombia
SA
17,290
Total
17,290
Cyprus
(<0.1%)
18,642
Ros
Agro
plc
GDR
a,c
0
Total
0
Czech
Republic
(<0.1%)
10,789
Komercni
Banka
AS
313,689
Shares
Common
Stock
(96.1%)
Value
Czech
Republic
(<0.1%)
-
continued
75
Philip
Morris
CR
$
55,780
Total
369,469
Denmark
(3.6%)
38,720
ALK-Abello
AS
a
434,242
26,508
Carlsberg
AS
3,342,261
9,630
Dampskibsselskabet
Norden
AS
534,852
82,503
Danske
Bank
AS
1,914,564
6,232
DFDS
AS
205,440
41,492
DSV
AS
7,731,650
8,249
H
Lundbeck
A/S
38,993
14,179
Jyske
Bank
AS
a
1,034,274
316,795
Novo
Nordisk
AS
28,844,585
14,218
Pandora
AS
1,467,174
943
Per
Aarsleff
Holding
A/S
43,215
2,181
Scandinavian
Tobacco
Group
AS
b
33,222
341
Solar
AS
22,914
19,826
Sydbank
AS
941,103
Total
46,588,489
Egypt
(<0.1%)
69,519
Commercial
International
Bank
Egypt
SAE
GDR
91,626
Total
91,626
Finland
(0.3%)
13,091
Cargotec
Oyj
547,271
2,860
Kemira
Oyj
44,470
32,765
Kesko
Oyj
587,026
57,994
Kojamo
Oyj
513,837
9,448
Konecranes
Oyj
313,194
10,141
Musti
Group
Oyj
192,593
9,086
Orion
Oyj
356,951
67,959
Outokumpu
Oyj
284,503
32,775
Tokmanni
Group
Corporation
455,091
Total
3,294,936
France
(6.0%)
47,485
Air
Liquide
SA
7,997,974
4,308
Arkema
SA
424,083
2,815
BioMerieux
272,325
110,977
Compagnie
de
Saint-Gobain
SA
6,642,019
227,124
Credit
Agricole
SA
2,792,447
92,176
Dassault
Systemes
SE
3,423,640
6,001
Edenred
SE
375,399
54,091
Eiffage
SA
5,134,190
56,263
Engie
SA
862,859
3,206
Eurazeo
SE
190,773
3,567
Hermes
International
SCA
6,502,029
20,981
Ipsos
SA
963,878
719
La
Francaise
des
Jeux
SAEM
b
23,353
77,283
Legrand
SA
7,133,061
4,966
LNA
Sante
129,683
10,768
LVMH
Moet
Hennessy
Louis
Vuitton
SE
8,128,017
44,681
Publicis
Groupe
SA
3,382,025
35,372
Rexel
SA
792,544
105,177
Sanofi
11,293,409
9,202
Schneider
Electric
SE
1,516,418
161
SOITEC
a
26,719
5,890
Sopra
Group
SA
1,215,925
26,062
Thales
SA
3,662,837
21,947
TotalEnergies
SE
1,443,001
30,534
Veolia
Environnement
SA
882,621
9,372
Verallia
SA
b
368,640
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
147
Shares
Common
Stock
(96.1%)
Value
France
(6.0%)
-
continued
15,332
Vinci
SA
$
1,696,195
4,728
Wendel
SA
373,723
4,137
Worldline
SA
a,b
116,131
Total
77,765,918
Germany
(5.3%)
11,552
Aixtron
SE
423,135
16,394
Allianz
SE
3,901,382
158
Amadeus
Fire
AG
18,643
5,470
AURELIUS
Equity
Opportunities
SE
&
Company
KGaA
72,868
3,632
Aurubis
AG
267,983
14,875
BASF
SE
673,316
75,043
Bayer
AG
3,603,897
38,730
Bayerische
Motoren
Werke
AG
3,933,697
96
Bilfinger
SE
3,282
2,775
BRANICKS
Group
AG
11,451
974
Carl
Zeiss
Meditec
AG
84,906
6,075
CTS
Eventim
AG
&
Company
KGAA
344,839
4,525
Dermapharm
Holding
SE
186,530
267,486
Deutsche
Bank
AG
2,939,745
22,816
Deutsche
Boerse
AG
3,940,250
209,218
Deutsche
Lufthansa
AG
a
1,655,626
103,973
Deutsche
Post
AG
4,218,761
108,467
Deutsche
Telekom
AG
2,275,291
44,301
Deutz
AG
195,103
4,751
Duerr
AG
128,562
292,820
E.ON
SE
3,462,892
293
Elmos
Semiconductor
SE
19,710
5,679
Fielmann
Group
AG
244,814
73,882
Fresenius
SE
&
Company
KGaA
2,294,792
5,374
Gerresheimer
AG
563,094
17,264
Heidelberg
Materials
AG
1,337,104
2,778
Hugo
Boss
AG
175,599
136,800
Infineon
Technologies
AG
4,530,919
1,504
Ionos
SE
a
22,727
11,224
Jenoptik
AG
283,644
758
JOST
Werke
SE
b
36,331
28,530
Klockner
&
Company
SE
205,762
10,929
LEG
Immobilien
AG
a
751,558
20,039
Mercedes-Benz
Group
AG
1,394,650
19,340
Merck
KGaA
3,224,120
3,376
Muenchener
Rueckversicherungs-
Gesellschaft
AG
1,314,793
47,329
RWE
AG
1,756,844
3,703
SAF-Holland
SE
47,675
51,541
SAP
SE
6,671,572
21,007
Scout24
SE
b
1,456,595
59,642
Siemens
AG
8,523,364
1,882
Stabilus
SE
105,153
6,514
Stroeer
SE
&
Company
KGaA
289,617
27,179
TAG
Immobilien
AG
a
283,970
18,554
TeamViewer
SE
a,b
311,847
2,242
VIB
Vermoegen
AG
a
31,052
509
Vossloh
AG
21,238
1,457
Wacker
Neuson
SE
29,656
Total
68,270,359
Greece
(<0.1%)
5,275
Mytilineos
SA
194,161
45,352
National
Bank
of
Greece
SA
a
255,324
Total
449,485
Shares
Common
Stock
(96.1%)
Value
Guernsey
(<0.1%)
205,854
UK
Commercial
Property
REIT,
Ltd.
$
133,144
Total
133,144
Hong
Kong
(1.7%)
152,400
Bank
of
East
Asia,
Ltd.
188,586
655,500
BOC
Hong
Kong
(Holdings),
Ltd.
1,789,430
82,000
China
Resources
Beer
(Holdings)
Company,
Ltd.
447,920
90,000
CITIC,
Ltd.
82,383
410,000
CK
Hutchison
Holdings,
Ltd.
2,176,727
75,440
CSPC
Pharmaceutical
Group,
Ltd.
55,172
6,400
Dah
Sing
Financial
Holdings,
Ltd.
13,510
54,000
Far
East
Horizon,
Ltd.
38,844
49,500
Genertec
Universal
Medical
Group
Company,
Ltd.
b
24,649
56,000
Hang
Lung
Group,
Ltd.
78,812
438,000
Hang
Lung
Properties,
Ltd.
599,253
5,700
Hang
Seng
Bank,
Ltd.
70,723
96,000
Henderson
Land
Development
Company,
Ltd.
252,092
361,700
Hong
Kong
Exchanges
&
Clearing,
Ltd.
13,423,689
58,000
Hysan
Development
Company,
Ltd.
112,283
42,000
Luk
Fook
Holdings
International,
Ltd.
108,645
34,500
Sun
Hung
Kai
Properties,
Ltd.
368,113
108,000
Swire
Pacific,
Ltd.
727,436
856,000
United
Laboratories
International
Holdings,
Ltd.
865,068
18,700
VTech
Holdings,
Ltd.
111,884
23,000
Yuexiu
Property
Company,
Ltd.
26,438
Total
21,561,657
Hungary
(<0.1%)
17,267
MOL
Hungarian
Oil
&
Gas
plc
130,787
9,563
OTP
Bank
Nyrt
344,784
Total
475,571
India
(1.5%)
777
ABB
India,
Ltd.
38,276
4,735
Amara
Raja
Energy
&
Mobility,
Ltd.
36,292
18,940
Asian
Paints,
Ltd.
719,879
22,995
Bajaj
Auto,
Ltd.
1,398,644
21,293
Bajaj
Finserv,
Ltd.
393,662
60,943
Cipla,
Ltd.
869,169
34,971
Coal
India,
Ltd.
124,029
8,685
Coromandel
International,
Ltd.
119,689
1,582
CRISIL,
Ltd.
74,638
13,042
Cummins
India,
Ltd.
265,797
4,769
Dr.
Reddy's
Laboratories,
Ltd.
ADR
318,903
63,408
HCL
Technologies,
Ltd.
939,797
16,175
HDFC
Asset
Management
Company,
Ltd.
b
515,182
63,818
HDFC
Life
Insurance
Company,
Ltd.
b
488,799
4,803
Hindustan
Unilever,
Ltd.
142,443
292,302
Indian
Oil
Corporation,
Ltd.
319,706
68,441
Infosys,
Ltd.
ADR
1,171,025
56,736
ITC,
Ltd.
303,142
65,064
Jio
Financial
Services,
Ltd.
a
181,148
41,808
Kotak
Mahindra
Bank,
Ltd.
871,279
53,922
Larsen
&
Toubro,
Ltd.
1,959,143
2,923
LTIMindtree,
Ltd.
b
182,633
1,849
Mphasis,
Ltd.
52,714
187
MRF,
Ltd.
241,310
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
148
Shares
Common
Stock
(96.1%)
Value
India
(1.5%)
-
continued
564
Nestle
India,
Ltd.
$
152,643
4,137
Persistent
Systems,
Ltd.
287,490
16,339
PI
Industries,
Ltd.
678,641
14,706
Pidilite
Industries,
Ltd.
431,321
4,806
Polycab
India,
Ltd.
308,596
121,455
REC,
Ltd.
419,551
29,767
Reliance
Industries,
Ltd.
838,080
36,760
SBI
Life
Insurance
Company,
Ltd.
b
576,622
5,822
Schaeffler
India,
Ltd.
231,799
8,974
Siemens,
Ltd.
396,187
1,618
Solar
Industries
India,
Ltd.
93,753
1,930
Supreme
Industries,
Ltd.
95,790
42,637
Tata
Consultancy
Services,
Ltd.
1,805,344
13,546
Tech
Mahindra,
Ltd.
198,871
1,369
Thermax,
Ltd.
51,199
5,525
UltraTech
Cement,
Ltd.
547,897
Total
18,841,083
Indonesia
(0.2%)
837,900
Astra
International
Tbk
PT
336,551
2,745,000
Bank
Central
Asia
Tbk
PT
1,563,923
1,011,200
Bank
Mandiri
Persero
Tbk
PT
a
393,586
1,342,100
Bank
Rakyat
Indonesia
Persero
Tbk
PT
453,271
Total
2,747,331
Ireland
(<0.1%)
3,616
Flutter
Entertainment
plc
a
589,879
Total
589,879
Israel
(1.0%)
7,890
AudioCodes,
Ltd.
79,902
25,822
Azrieli
Group,
Ltd.
1,325,520
183,196
Bank
Hapoalim
BM
1,632,204
203,453
Bank
Leumi
Le-Israel
BM
1,685,781
38,440
Doral
Group
Renewable
Energy
Resources,
Ltd.
a
80,024
7,271
First
International
Bank
of
Israel,
Ltd.
313,205
38,990
ICL
Group,
Ltd.
215,151
5,105
Israel
Corporation,
Ltd.
a
1,300,866
9,554
Magic
Software
Enterprises,
Ltd.
108,298
52,288
Mivne
Real
Estate
(KD),
Ltd.
125,875
35,753
Mizrahi
Tefahot
Bank,
Ltd.
1,298,363
10,557
NICE,
Ltd.
a
1,800,591
5,833
Nova,
Ltd.
a
643,236
92,416
Plus500,
Ltd.
1,552,670
22,645
Radware,
Ltd.
a
383,153
1,455
Wix.com,
Ltd.
a
133,569
Total
12,678,408
Italy
(3.1%)
271,423
A2A
SPA
482,400
35,768
Arnoldo
Mondadori
Editore
SpA
80,852
30,607
Azimut
Holding
SPA
666,056
63,973
Banca
Farmafactoring
SPA
b
638,150
17,171
Banca
IFIS
SPA
296,021
207,339
Banca
Mediolanum
SPA
1,766,818
144,332
Banca
Popolare
di
Sondrio
SPA
740,738
31,040
BPER
Banca
94,346
6,032
Brunello
Cucinelli
SPA
457,520
8,044
Buzzi
SpA
219,820
13,993
Credito
Emiliano
SpA
114,609
1,210,640
Enel
SPA
7,424,548
210,422
Hera SPA
574,596
Shares
Common
Stock
(96.1%)
Value
Italy
(3.1%)
-
continued
1,080
Interpump
Group
SPA
$
49,404
2,853,976
Intesa
Sanpaolo
SPA
7,309,658
389,854
Iren
SpA
749,582
511,650
Italgas
SPA
2,617,721
35,876
Mediobanca
SPA
472,993
62,101
Moncler
SPA
3,599,065
203,096
OVS
SPA
b
420,874
190,295
Recordati
SPA
8,967,714
8,025
Reply
SPA
753,002
14,204
Technogym
SpA
b
109,586
145,072
Unipol
Gruppo
SpA
783,002
Total
39,389,075
Japan
(19.1%)
54
Activia
Properties,
Inc.
148,980
110,800
Advantest
Corporation
a
3,090,601
12,100
AEON
Financial
Service
Company,
Ltd.
104,310
23,100
AGC,
Inc.
809,595
23,800
Aica
Kogyo
Company,
Ltd.
530,598
29,700
Ain
Holdings,
Inc.
875,599
35,300
Air
Water,
Inc.
439,398
9,000
Aisin
Corporation
340,065
6,200
Amano
Corporation
136,074
5,300
Amvis
Holdings,
Inc.
92,155
29,700
Aozora
Bank,
Ltd.
606,771
30,400
Arcs
Company,
Ltd.
553,813
15,300
ARE
Holdings,
Inc.
194,021
219,600
Asahi
Kasei
Corporation
1,382,266
210,300
Astellas
Pharma,
Inc.
2,910,894
1,600
Axial
Retailing,
Inc.
40,044
1,300
BayCurrent
Consulting,
Inc.
43,320
10,300
BellSystem24
Holdings,
Inc.
108,834
13,600
Benefit
One,
Inc.
98,220
96,600
Benesse
Holdings,
Inc.
1,181,462
5,100
Canon
Marketing
Japan,
Inc.
132,227
161,600
Canon,
Inc.
3,892,723
46,900
Chiyoda
Company,
Ltd.
287,603
20,900
Chudenko
Corporation
337,396
12,300
Chugai
Pharmaceutical
Company,
Ltd.
379,259
38,600
Chugin
Financial
Group,
Inc.
287,814
44,900
Chugoku
Electric
Power
Company,
Inc.
275,789
51,100
Coca-Cola
Bottlers
Japan,
Inc.
671,406
25,500
COMSYS
Holdings
Corporation
533,143
13,100
Dai
Nippon
Printing
Company,
Ltd.
340,838
3,000
Daido
Steel
Company,
Ltd.
121,906
36,400
Daiichi
Sankyo
Company,
Ltd.
996,535
15,800
Daikin
Industries,
Ltd.
2,476,993
11,300
Daito
Trust
Construction
Company,
Ltd.
1,190,270
169,500
Daiwa
House
Industry
Company,
Ltd.
4,549,279
185
Daiwa
House
REIT
Investment
Corporation
326,404
53,500
Demae-Can
Company,
Ltd.
a
131,689
11,600
Denso
Corporation
a
186,132
3,200
Descente,
Ltd.
91,411
42,800
Doutor
Nichires
Holdings
Company,
Ltd.
666,864
21,200
DTS
Corporation
452,271
12,500
Electric
Power
Development
Company,
Ltd.
201,843
1,537,700
Eneos
Holdings,
Inc.
6,052,599
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
149
Shares
Common
Stock
(96.1%)
Value
Japan
(19.1%)
-
continued
18,100
FANUC
Corporation
$
470,735
5,100
Fast
Retailing
Company,
Ltd.
1,110,858
10,900
Ferrotec
Holdings
Corporation
207,913
16,900
Food
&
Life
Companies,
Ltd.
283,410
30,100
Fuji
Media
Holdings,
Inc.
322,467
26,600
Fuji
Soft,
Inc.
860,394
41,000
FUJIFILM
Holdings
NPV
2,371,874
5,100
Fujimi,
Inc.
102,408
32,200
Fujitsu,
Ltd.
3,787,077
15,500
Fukuyama
Transporting
Company,
Ltd.
407,109
1,700
FULLCAST
Holdings
Company,
Ltd.
21,367
14,200
Future
Corporation
142,718
3,200
Fuyo
General
Lease
Company,
Ltd.
257,533
3,000
G-7
Holdings,
Inc.
24,869
36,100
Gree,
Inc.
143,505
2,300
Gunze,
Ltd.
69,319
8,300
Hanwa
Company,
Ltd.
263,143
3,100
Haseko
Corporation
39,518
50,200
Heiwa
Corporation
720,459
29,800
Hitachi,
Ltd.
1,846,932
339,600
Honda
Motor
Company,
Ltd.
a
3,820,397
18,500
Hoya
Corporation
1,894,723
29,900
Hyakugo
Bank,
Ltd.
107,100
30,200
IDOM,
Inc.
147,275
95,200
Inaba
Denki
Sangyo
Company,
Ltd.
2,058,865
558
Industrial
&
Infrastructure
Fund
Investment
Corporation
515,580
19,100
ITOCHU
Corporation
689,776
3,300
Japan
Material
Company,
Ltd.
50,526
239
Japan
Metropolitan
Fund
Investment
Corporation
155,004
27,700
Japan
Post
Bank
Company,
Ltd.
241,041
120,500
Japan
Post
Holdings
Company,
Ltd.
964,017
20,700
Japan
Post
Insurance
Company,
Ltd.
348,140
202,700
Japan
Tobacco,
Inc.
4,663,730
11,000
Jeol,
Ltd.
327,255
34,800
JGC
Corporation
483,531
1,400
JMDC,
Inc.
50,784
7,500
Juroku
Financial
Group,
Inc.
187,640
93,800
Kajima
Corporation
1,526,878
4,000
Kakaku.com,
Inc.
40,506
32,000
Kamigumi
Company,
Ltd.
659,008
27,200
Kanematsu
Corporation
375,905
100,600
Kawasaki
Kisen
Kaisha,
Ltd.
d
3,433,064
238,000
KDDI
Corporation
7,285,294
29,800
Keiyo
Bank,
Ltd.
137,810
185
Kenedix
Office
Investment
Corporation
427,842
40
Kenedix
Retail
REIT
Corporation
77,343
11,400
Keyence
Corporation
4,216,015
79,000
Kinden
Corporation
1,148,948
4,100
Komatsu,
Ltd.
110,582
30,100
K's
Holdings
Corporation
276,209
21,800
Kumagai
Gumi
Company,
Ltd.
513,800
19,200
Kuraray
Company,
Ltd.
227,447
1,800
Kureha
Corporation
100,078
2,400
KYB
Corporation
77,613
6,100
Kyocera
Corporation
309,256
107,500
Kyoei
Steel,
Ltd.
1,429,550
29,200
Kyowa
Hakko
Kirin
Company,
Ltd.
507,697
82
LaSalle
Logiport
REIT
78,619
8,700
Lintec
Corporation
139,090
Shares
Common
Stock
(96.1%)
Value
Japan
(19.1%)
-
continued
32,400
Lion
Corporation
$
319,549
6,900
M&A
Research
Institute
Holdings,
Inc.
a
158,953
9,900
Management
Solutions
Company,
Ltd.
185,594
10,600
Mandom
Corporation
97,732
16,600
Maruichi
Steel
Tube,
Ltd.
412,667
64,800
Mazda
Motor
Corporation
735,771
2,200
McDonald's
Holdings
Company
(Japan),
Ltd.
84,061
10,600
Megachips
Corporation
296,101
56,800
MEITEC
Group
Holdings,
Inc.
1,027,245
19,100
Menicon
Company,
Ltd.
245,524
4,000
Micronics
Japan
Company,
Ltd.
56,543
200
Mimasu
Semiconductor
Industry
Company,
Ltd.
3,709
16,800
Ministop
Company,
Ltd.
164,766
52,000
Mitsubishi
Corporation
2,477,818
114,100
Mitsubishi
Electric
Corporation
1,409,645
587,500
Mitsubishi
HC
Capital,
Inc.
3,914,558
10,800
Mitsubishi
Logistics
Corporation
286,860
2,800
Mitsubishi
Research
Institute,
Inc.
90,656
9,000
Mitsubishi
Shokuhin
Company,
Ltd.
234,917
565,900
Mitsubishi
UFJ
Financial
Group,
Inc.
4,795,525
30,100
Mitsui
&
Company,
Ltd.
1,091,725
20,300
Mixi,
Inc.
321,723
163,900
Mizuho
Financial
Group,
Inc.
2,782,687
133,500
Murata
Manufacturing
Company,
Ltd.
a
2,435,329
31,600
NEC
Networks
&
System
Integration
Corporation
414,918
13,100
Nextage
Company,
Ltd.
199,742
14,200
NHK
Spring
Company,
Ltd.
108,612
44,600
Nidec
Corporation
2,059,336
295,500
Nihon
M&A
Center
Holdings,
Inc.
1,420,157
24,900
Nikkon
Holdings
Company,
Ltd.
526,177
115,800
Nikon
Corporation
1,219,594
138,000
Nintendo
Company,
Ltd.
5,734,309
10,600
Nippon
Express
Holdings,
Inc.
553,106
201
Nippon
REIT
Investment
Corporation
479,793
4,800
Nippon
Shokubai
Company,
Ltd.
174,239
5,300
Nippon
Signal
Company,
Ltd.
33,313
199,400
Nippon
Television
Holdings,
Inc.
2,016,165
68,600
Nippon
Yusen
Kabushiki
Kaisha
1,781,188
2,600
Nishimatsu
Construction
Company,
Ltd.
64,477
522,500
Nissan
Motor
Company,
Ltd.
2,305,919
7,000
Nisshin
Oillio
Group,
Ltd.
195,907
57,700
Nissui
Corporation
282,433
11,300
Niterra
Company,
Ltd.
255,758
30,300
Nitori
Holdings
Company,
Ltd.
3,378,313
3,000
Nitto
Boseki
Company,
Ltd.
69,932
45,400
Nitto
Kogyo
Corporation
1,088,066
23,900
NOK
Corporation
317,225
13,800
Nomura
Research
Institute,
Ltd.
358,686
11,000
North
Pacific
Bank,
Ltd.
26,544
3,200
NS
United
Kaiun
Kaisha,
Ltd.
84,248
31,700
NSD
Company,
Ltd.
600,888
262,400
NTT
Data
Group
Corporation
3,511,267
6,400
OBIC
Business
Consultants
Company,
Ltd.
264,872
9,000
Ohsho
Food
Service
Corporation
416,029
18,300
Okamura
Corporation
276,332
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
150
Shares
Common
Stock
(96.1%)
Value
Japan
(19.1%)
-
continued
50,000
Okinawa
Electric
Power
Company,
Inc.
$
375,348
11,000
Okumura
Corporation
330,304
170,800
Olympus
Corporation
2,217,580
9,800
Ono
Pharmaceutical
Company,
Ltd.
187,948
15,840
Orient
Corporation
122,889
178,200
Oriental
Land
Company,
Ltd.
5,846,323
84,500
ORIX
Corporation
1,577,818
25,300
Otsuka
Holdings
Company,
Ltd.
898,279
9,100
Pacific
Metals
Company,
Ltd.
a
85,148
78,700
Pan
Pacific
International
Holdings
Company
1,651,674
7,900
PeptiDream,
Inc.
a
85,024
3,100
PHC
Holdings
Corporation
31,591
2,000
Pigeon
Corporation
22,575
5,600
Plus
Alpha
Consulting
Company,
Ltd.
104,911
9,100
Rakus
Company,
Ltd.
124,847
120,484
Recruit
Holdings
Company,
Ltd.
3,686,212
61,300
Renesas
Electronics
Corporation
a
936,355
55,200
Resona
Holdings,
Inc.
305,211
25,800
Resorttrust,
Inc.
385,010
132,000
Rohm
Company,
Ltd.
a
2,481,502
1,100
Roland
Corporation
30,117
6,900
Saizeriya
Company,
Ltd.
223,462
39,900
Sangetsu
Company,
Ltd.
777,375
15,300
Sankyu,
Inc.
528,936
55,700
Santen
Pharmaceutical
Company,
Ltd.
511,069
13,100
Sanyo
Chemical
Industries,
Ltd.
358,615
3,400
Sanyo
Special
Steel
Company,
Ltd.
66,910
9,800
Sawai
Group
Holdings
Company,
Ltd.
299,689
3,400
SB
Technology
Corporation
51,274
4,400
SCREEN
Holdings
Company,
Ltd.
a
213,823
68,100
Secom
Company,
Ltd.
4,619,959
7,700
Sega
Sammy
Holdings,
Inc.
142,007
73,600
Seino
Holdings
Company,
Ltd.
1,031,377
1,900
SHIFT,
Inc.
a
345,521
67,100
Shin-Etsu
Chemical
Company,
Ltd.
1,948,963
7,500
Shionogi
&
Company,
Ltd.
334,533
99,800
SKY
Perfect
JSAT
Holdings,
Inc.
466,673
5,700
SMC
Corporation
2,555,095
2,900
Socionext,
Inc.
285,773
128,400
SoftBank
Group
Corporation
5,408,920
4,600
Sojitz
Corporation
100,766
42,900
Sompo
Holdings,
Inc.
1,838,556
59,900
Sony
Group
Corporation
4,898,358
554
Star
Asia
Investment
Corporation
214,429
8,700
Starts
Corporation,
Inc.
169,804
19,000
Sumco
Corporation
247,247
28,700
Sumitomo
Corporation
572,793
127,400
Sumitomo
Dainippon
Pharma
Company,
Ltd.
455,733
19,200
Sumitomo
Heavy
Industries,
Ltd.
486,204
99,800
Sumitomo
Mitsui
Financial
Group,
Inc.
4,902,779
99,400
Sumitomo
Mitsui
Trust
Holdings,
Inc.
3,742,116
2,600
Sumitomo
Osaka
Cement
Company,
Ltd.
63,911
114,000
Systena
Corporation
204,899
7,100
Taikisha,
Ltd.
214,515
16,700
Taisho
Pharmaceutical
Holdings
Company,
Ltd.
687,431
42,100
Taiyo
Holdings
Company,
Ltd.
721,023
Shares
Common
Stock
(96.1%)
Value
Japan
(19.1%)
-
continued
7,700
Takamatsu
Construction
Group
Company,
Ltd.
$
137,248
9,400
Takara
Standard
Company,
Ltd.
116,393
164,100
Takeda
Pharmaceutical
Company,
Ltd.
5,086,528
15,900
Takuma
Company,
Ltd.
164,424
44,000
Terumo
Corporation
1,164,718
47,100
TIS,
Inc.
1,035,691
83,200
Toagosei
Company,
Ltd.
747,194
7,700
Tocalo
Company,
Ltd.
70,043
6,000
Tokai
Corporation/Gifu
76,205
21,000
Tokio
Marine
Holdings,
Inc.
486,228
20,500
Tokyo
Electron,
Ltd.
2,800,142
13,300
Tokyo
Seimitsu
Company,
Ltd.
664,963
12,200
Tokyotokeiba
Company,
Ltd.
328,374
106,500
Tokyu
Fudosan
Holdings
Corporation
654,396
67,500
TOPPAN
Holdings,
Inc.
1,614,691
7,800
Torii
Pharmaceutical
Company,
Ltd.
201,789
21,500
Totetsu
Kogyo
Company,
Ltd.
421,900
5,100
Towa
Pharmaceutical
Company,
Ltd.
96,836
9,400
Toyo
Suisan
Kaisha,
Ltd.
368,639
864,000
Toyota
Motor
Corporation
15,500,444
14,900
Transcosmos,
Inc.
318,192
26,900
TRE
Holdings
Corporation
216,800
3,100
Tri
Chemical
Laboratories,
Inc.
64,115
40,200
Tsubakimoto
Chain
Company
1,040,297
600
Tsuruha
Holdings,
Inc.
40,302
137,100
TV
Asahi
Holdings
Corporation
1,549,291
17,200
UBE
Corporation
289,809
2,800
United
Arrows,
Ltd.
36,663
14,500
Universal
Entertainment
Corporation
213,736
5,500
UT
Group
Company,
Ltd.
a
81,918
20,600
Valor
Holdings
Company,
Ltd.
301,235
20,500
ValueCommerce
Company,
Ltd.
174,471
31,700
Wacom
Company,
Ltd.
125,600
4,600
WDB
Holdings
Company,
Ltd.
62,803
32,800
Yakult
Honsha
Company,
Ltd.
a
796,612
4,600
Yellow
Hat,
Ltd.
58,360
22,100
Yuasa
Trading
Company,
Ltd.
610,628
13,700
Zensho
Holdings
Company,
Ltd.
594,917
89,700
ZOZO,
Inc.
1,642,513
Total
246,506,475
Jersey
(0.5%)
363,245
Glencore
plc
2,068,515
1,332,916
Man
Group
plc
3,622,917
46,909
TP
ICAP
Group
plc
97,355
70,217
WPP
plc
625,589
Total
6,414,376
Kuwait
(0.1%)
24,746
HumanSoft
Holding
Company
KSCC
250,141
11,714
Kuwait
Finance
House
KSCP
27,736
75,298
Mobile
Telecommunications
Company
KSCP
118,507
179,148
National
Bank
of
Kuwait
KSC
525,014
76,032
National
Industries
Group
Holding
49,222
Total
970,620
Luxembourg
(1.1%)
17,160
APERAM
SA
498,441
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
151
Shares
Common
Stock
(96.1%)
Value
Luxembourg
(1.1%)
-
continued
66,568
ArcelorMittal
SA
$
1,666,600
122,733
Aroundtown
SA
a
254,611
478,428
B&M
European
Value
Retail
SA
3,412,568
3,919
Grand
City
Properties
SA
a
36,952
10,781
Reinet
Investments
SCA
236,719
37,253
Subsea
7
SA
511,843
223,910
Tenaris
SA
ADR
7,075,556
Total
13,693,290
Malaysia
(0.1%)
7,600
AEON
Credit
Service
(M)
Bhd
19,715
172,300
Hong
Leong
Bank
Bhd
715,049
28,600
IOI
Corporation
Bhd
24,206
11,200
Kuala
Lumpur
Kepong
Bhd
50,985
156,400
Mah
Sing
Group
Bhd
29,935
5,700
Malayan
Banking
Bhd
10,663
25,700
MISC
Bhd
38,719
6,900
Petronas
Dagangan
Bhd
32,889
60,100
Public
Bank
Bhd
51,925
64,800
QL
Resources
Bhd
75,355
8,791
RHB
Bank
Bhd
10,158
98,541
Sports
Toto
Bhd
31,061
24,200
Ta
Ann
Holdings
Bhd
17,370
134,400
Tenaga
Nasional
Bhd
285,833
Total
1,393,863
Mexico
(0.2%)
4,015
America
Movil
SAB
de
CV
ADR
69,539
50,600
Arca
Continental
SAB
de
CV
460,982
73,171
Cemex
SAB
de
CV
ADR
a
475,612
7,677
Coca-Cola
Femsa
SAB
de
CV
ADR
602,184
626
Fomento
Economico
Mexicano
SAB
de
CV
ADR
68,328
24,833
Grupo
Financiero
Banorte
SAB
de
CV
ADR
208,140
94,000
Grupo
Mexico
SAB
de
CV
444,231
9,200
Kimberly-Clark
de
Mexico,
SA
de
CV
18,318
136,900
Megacable
Holdings
SAB
de
CV
302,433
13,400
Wal-Mart
de
Mexico
SAB
de
CV
50,578
Total
2,700,345
Netherlands
(5.1%)
11,378
Aalberts
NV
415,166
6,360
ASM
International
NV
2,655,890
31,496
ASML
Holding
NV
18,543,283
43
BE
Semiconductor
Industries
NV
4,206
7,723
Cementir
Holding
NV
61,238
410
COSMO
Pharmaceuticals
NV
17,872
40,121
Euronext
NV
b
2,790,784
8,252
EXOR
NV
729,878
15,688
Ferrari
NV
4,624,595
65,951
ForFarmers
NV
172,502
5,026
IMCD
NV
635,461
359,129
Koninklijke
Ahold
Delhaize
NV
10,824,038
27,185
Koninklijke
Vopak
NV
929,890
2,338,672
MFE-MediaForEurope
NV
988,530
34,239
NEPI
Rockcastle
NV
188,250
68,916
QIAGEN
NV
a
2,780,733
22,784
Signify
NV
b
611,357
395,627
Stellantis
NV
7,575,636
140,645
STMicroelectronics
NV
6,065,045
93,380
Unilever
plc
4,623,000
8,240
Van
Lanschot
Kempen
NV
221,039
Shares
Common
Stock
(96.1%)
Value
Netherlands
(5.1%)
-
continued
1,189
Wolters
Kluwer
NV
$
143,959
Total
65,602,352
New
Zealand
(0.1%)
50,898
Air
New
Zealand,
Ltd.
22,277
131,215
Contact
Energy,
Ltd.
632,190
31,974
Genesis
Energy,
Ltd.
46,720
5,571
Xero,
Ltd.
a
400,655
Total
1,101,842
Norway
(1.4%)
160,331
Aker
Solutions
ASA
645,131
2,246
Atea
ASA
28,052
275,553
DNB
Bank
ASA
5,536,348
98,884
Elkem
ASA
b
200,002
161,895
Equinor
ASA
5,305,631
80,295
Europris
ASA
b
447,633
26,979
Hoegh
Autoliners
ASA
193,566
33,065
Norsk
Hydro
ASA
206,916
6,749
SpareBank
1
Nord
Norge
60,318
1,319
Sparebank
1
Oestlandet
16,431
10,633
Veidekke
ASA
97,019
12,690
Wallenius
Wilhelmsen
ASA
100,159
131,355
Yara
International
ASA
4,959,919
Total
17,797,125
Philippines
(0.1%)
17,490
Aboitiz
Equity
Ventures,
Inc.
15,503
18,500
Jollibee
Foods
Corporation
74,920
36,360
SM
Investments
Corporation
541,737
Total
632,160
Poland
(0.1%)
9,317
Asseco
Poland
SA
152,603
31,126
Orlen
SA
417,019
16,593
Powszechna
Kasa
Oszczednosci
Bank
Polski
SA
a
131,263
43,862
Powszechny
Zaklad
Ubezpieczen
SA
414,299
894
Santander
Bank
Polska
SA
a
73,393
Total
1,188,577
Portugal
(0.1%)
72,797
CTT-Correios
de
Portugal
SA
267,452
82,448
EDP
-
Energias
de
Portugal
SA
342,815
4,462
Galp
Energia
SGPS
SA
66,092
57,725
REN
-
Redes
Energeticas
Nacionais
SGPS
SA
147,579
Total
823,938
Qatar
(<0.1%)
19,028
Commercial
Bank
PSQC
28,224
111,708
Gulf
International
Services
QSC
89,733
161,216
Masraf
Al
Rayan
QSC
98,746
23,203
Ooredoo
QPSC
68,143
4,800
Qatar
Electricity
&
Water
Company
QSC
23,104
35,317
Qatar
Gas
Transport
Company,
Ltd.
36,107
Total
344,057
Russian
Federation
(<0.1%)
169,404
Gazprom
PJSC
ADR
a,c
17
6,112
LUKOIL
PJSC
a,c,e
0
6,042
Mechel
PJSC
ADR
a,c
1
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
152
Shares
Common
Stock
(96.1%)
Value
Russian
Federation
(<0.1%)
-
continued
14,886
MMC
Norilsk
Nickel
PJSC
ADR
a,c
$
1
444
Novatek
PJSC
GDR
a,c
0
684
Polyus
PJSC
a,c
0
1
Polyus
PJSC
GDR
a,c
0
329,720
Sberbank
of
Russia
PJSC
a,c,e
0
17,590
Sovcomflot
OAO
a,c
0
765,300
Surgutneftegas
PJSC
a,c,e
1
67,366
Surgutneftegas
PJSC
ADR
a,c
7
Total
27
Saudi
Arabia
(0.3%)
55,599
Al
Rajhi
Bank
1,007,262
59,197
Alinma
Bank
527,653
4,970
Arab
National
Bank
31,804
4,788
Dr.
Sulaiman
Al
Habib
Medical
Services
Group
Company
300,905
3,451
Eastern
Province
Cement
Company
35,840
13,166
Fawaz
Abdulaziz
Al
Hokair
&
Company
a
73,237
74,517
Jarir
Marketing
Company
288,098
54,808
National
Commercial
Bank
479,545
22,709
Riyad
Bank
168,145
1,105
SABIC
Agri-Nutrients
Company
39,216
9,274
Saudi
Arabian
Oil
Company
b
86,397
2,253
Saudi
Aramco
Base
Oil
Company
89,397
4,068
Saudi
Basic
Industries
Corporation
89,575
18,597
Saudi
Electricity
Company
94,637
48,827
Saudi
Telecom
Company
489,679
6,384
Savola
Group
61,398
Total
3,862,788
Singapore
(1.4%)
2,699
China
Yuchai
International,
Ltd.
27,260
405,000
DBS
Group
Holdings,
Ltd.
9,946,660
16,497
Kenon
Holdings,
Ltd.
382,804
161,800
Singapore
Exchange,
Ltd.
1,151,048
115,900
Singapore
Technologies
Engineering,
Ltd.
330,761
210,600
United
Overseas
Bank,
Ltd.
4,386,400
114,000
Wing
Tai
Holdings,
Ltd.
116,752
1,006,800
Yangzijiang
Shipbuilding
Holdings,
Ltd.
1,220,434
593,500
Yanlord
Land
Group,
Ltd.
a
286,338
Total
17,848,457
South
Africa
(0.2%)
33,192
Absa
Group,
Ltd.
305,891
47,656
AECI,
Ltd.
283,815
28,759
Aspen
Pharmacare
Holdings,
Ltd.
260,982
5,162
Barloworld,
Ltd.
23,676
7,314
Coronation
Fund
Managers,
Ltd.
11,967
57,547
DataTec,
Ltd.
109,266
48,495
FirstRand,
Ltd.
163,303
11,137
Kumba
Iron
Ore,
Ltd.
267,511
43,446
Momentum
Metropolitan
Holdings
45,342
6,324
MTN
Group,
Ltd.
37,693
2,499
Naspers,
Ltd.
399,812
16,472
Sasol,
Ltd.
226,115
29,723
Standard
Bank
Group
288,412
9,021
Super
Group,
Ltd.
15,761
18,506
Vukile
Property
Fund,
Ltd.
12,804
Total
2,452,350
South
Korea
(0.9%)
2,048
AfreecaTV
Company,
Ltd.
127,207
Shares
Common
Stock
(96.1%)
Value
South
Korea
(0.9%)
-
continued
318
Chong
Kun
Dang
Pharmaceutical
Corporation
a
$
22,101
483
Chongkundang
Holdings
Corporation
19,254
1,542
CJ
Corporation
102,365
3,922
Doosan
Bobcat,
Inc.
148,033
5,798
Green
Cross
Holdings
Corporation
59,898
19,115
GS
Holdings
Corporation
563,985
1,227
Hanmi
Pharm
Company,
Ltd.
271,987
3,973
Hanwha
Corporation
70,461
2,326
Huons
Global
Company,
Ltd.
39,057
1,340
HYBE
Company,
Ltd.
a
235,842
842
Hyundai
Motor
Company
119,062
983
Hyundai
Steel
Company
27,652
2,348
JW
Pharmaceutical
Corporation
a
66,678
3,375
JYP
Entertainment
Corporation
280,249
10,802
Kakao
Corporation
352,541
10,635
Kia
Corporation
640,124
310
Korea
Zinc
Company,
Ltd.
116,121
282
LG
Chem,
Ltd.
103,250
6,796
Lotte
Shopping
Company,
Ltd.
359,122
2,230
Meritz
Financial
Group,
Inc.
91,263
2,658
NAVER
Corporation
397,410
43,051
NH
Investment
&
Securities
Company,
Ltd.
325,869
90
NongShim
Company,
Ltd.
31,489
4,080
PharmaResearch
Company,
Ltd.
381,852
1,896
POSCO
Holdings,
Inc.
746,965
1,068
Samsung
Biologics
Company,
Ltd.
a,b
539,113
5,612
Samsung
C&T
Corporation
447,447
80,160
Samsung
Electronics
Company,
Ltd.
4,052,419
196
Samsung
SDI
Company,
Ltd.
74,071
16,535
Samsung
Securities
Corporation,
Ltd.
449,872
3,641
Seoul
Semiconductor
Company,
Ltd.
28,363
588
SGC
Energy
Company,
Ltd.
11,195
167
SK
Biopharmaceuticals
Company,
Ltd.
a
10,663
7,204
SK
Hynix,
Inc.
609,924
2,420
Yuhan
Corporation
135,844
Total
12,058,748
Spain
(3.1%)
285,555
Acerinox
SA
2,759,379
7,074
Aena
SME
SA
b
1,064,478
37,328
Amadeus
IT
Holding
SA
2,254,712
15,643
Atresmedia
Corporacion
de
Medios
de
Comunicacion
SA
60,445
910,271
Banco
Bilbao
Vizcaya
Argentaria
SA
7,366,760
1,312,456
Banco
Santander
SA
4,997,923
104,906
Cia
de
Distribucion
Integral
Logista
Holdings
SA
2,680,857
4,113
Global
Dominion
Access
SA
b
14,567
226,111
Industria
de
Diseno
Textil
SA
8,414,056
2,911
Laboratorios
Farmaceuticos
ROVI
SA
157,560
8,997
Let's
GOWEX
SA
a,c,f
1
32,019
Melia
Hotels
International
SA
a
194,125
87,888
Merlin
Properties
Socimi
SA
739,476
1,477
Pharma
Mar
SA
50,078
579,214
Repsol
SA
9,527,500
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
153
Shares
Common
Stock
(96.1%)
Value
Spain
(3.1%)
-
continued
41,262
Sacyr
SA
$
121,101
2,074
Vidrala
SA
180,056
Total
40,583,074
Sweden
(2.3%)
78,391
AB
Industrivarden,
Class
A
2,067,108
78,958
AB
Industrivarden,
Class
C
2,080,631
48,844
AcadeMedia
AB
b
209,046
29,867
AddLife
AB
176,262
33,923
AddTech
AB
541,386
14,629
Alleima
AB
76,687
10,437
Ambea
AB
b
33,034
87,574
Arjo
AB
338,426
281,211
Assa
Abloy
AB
6,110,314
28,413
Atlas
Copco
AB,
Class
A
381,606
22,235
Atlas
Copco
AB,
Class
B
260,039
5,307
Atrium
Ljungberg
AB
86,365
47,320
Attendo
AB
a,b
123,004
52,610
Betsson
AB
578,177
20,601
BioGaia
AB
189,878
31,323
Biotage
AB
307,565
10,078
Bravida
Holding
AB
b
74,176
6,211
Bufab
AB
156,169
444,094
Corem
Property
Group
AB
245,274
10,500
Dios
Fastigheter
AB
59,831
22,406
Dustin
Group
AB
a,b
41,398
5,841
Epiroc
AB,
Class
A
110,905
3,128
Epiroc
AB,
Class
B
50,040
243,200
Granges
AB
2,287,782
150,408
Hexagon
AB
1,280,083
123,672
Hexpol
AB
1,095,804
13,183
Indutrade
AB
243,475
24,253
Investor
AB,
Class
B
464,312
46,427
Inwido
AB
466,663
12,668
Kinnevik
AB
a
125,805
2,431
L
E
Lundbergforetagen
AB
101,364
29,171
Lifco
AB
510,298
31,896
Lindab
International
AB
465,660
57,492
NCC
AB
621,540
83,325
Nobia
AB
a
62,202
49,137
Nyfosa
AB
263,464
22,794
Pandox
AB
241,888
34,931
Peab
AB
143,293
13,467
Platzer
Fastigheter
Holding
AB
82,832
2,928
SKF
AB
48,609
565,660
SSAB
AB,
Class
A
3,187,485
347,322
SSAB
AB,
Class
B
1,905,397
16,882
Svolder
AB
78,372
44,632
Sweco
AB
416,246
16,213
Swedbank
AB
298,018
29,033
Trelleborg
AB
721,350
1,344
Troax
Group
AB
19,030
14,319
Vitrolife
AB
191,837
18,719
Volvo
AB,
Class
B
385,567
Total
30,005,697
Switzerland
(6.4%)
129
Bucher
Industries
AG
49,210
1,352
Burckhardt
Compression
Holding
AG
735,774
6,085
Cembra
Money
Bank
AG
412,623
12,163
Coca-Cola
HBC
AG
332,584
34,948
Compagnie
Financiere
Richemont
SA
4,256,081
1,564
DKSH
Holding
AG
105,792
Shares
Common
Stock
(96.1%)
Value
Switzerland
(6.4%)
-
continued
11,529
Galenica
AG
b
$
851,713
114,860
Holcim
AG
7,352,063
3,003
Huber+Suhner
AG
216,496
1,609
Implenia
AG
52,774
47
LEM
Holding
SA
105,004
146
Lindt
&
Spruengli
AG
1,622,432
236
Medmix
AG
b
5,995
136,426
Nestle
SA
15,442,880
244,392
Novartis
AG
24,959,423
2,608
Partners
Group
Holding
AG
2,927,729
32,553
PSP
Swiss
Property
AG
3,840,664
14,443
Roche
Holding
AG,
Participation
Certificates
3,942,955
874
Schindler
Holding
AG
168,165
18,215
Schindler
Holding
AG,
Participation
Certificates
3,628,425
1,235
Siegfried
Holding
AG
1,054,846
17,337
Sika
AG
4,392,519
14,238
Swiss
Prime
Site
AG
1,303,471
8,172
Tecan
Group
AG
2,746,782
17,884
Temenos
AG
1,250,813
2,619
u-blox
Holding
AG
221,997
1,573
Vontobel
Holding
AG
93,392
667
Zehnder
Group
AG
39,100
Total
82,111,702
Taiwan
(1.4%)
19,057
ASE
Technology
Holding
Company,
Ltd.
ADR
143,309
113,000
Asia
Cement
Corporation
139,201
13,000
Asustek
Computer,
Inc.
147,928
361,000
Capital
Securities
Corporation
163,434
336,000
Cheng
Shin
Rubber
Industry
Company,
Ltd.
442,639
5,000
Chicony
Power
Technology
Company,
Ltd.
17,747
14,000
China
Steel
Chemical
Corporation
49,049
224,000
China
Steel
Corporation
175,288
199,000
Chipbond
Technology
Corporation
420,933
39,000
Delta
Electronics,
Inc.
392,805
44,000
Elan
Microelectronics
Corporation
182,107
66,000
Everlight
Electronics
Company,
Ltd.
95,961
113,000
Feng
Hsin
Steel
Company,
Ltd.
235,372
24,000
Getac
Holdings
Corporation
57,808
10,000
Global
Mixed
Mode
Technology,
Inc.
81,019
3,000
Grape
King
Bio,
Ltd.
14,506
1,100
Hotai
Motor
Company,
Ltd.
a
22,355
8,000
Makalot
Industrial
Company,
Ltd.
83,317
29,000
MediaTek,
Inc.
663,023
72,000
Micro-Star
International
Company,
Ltd.
366,287
315,000
Nan
Ya
Plastics
Corporation
649,853
74,000
Novatek
Microelectronics
Corporation
971,738
188,000
Pou
Chen
Corporation
167,046
46,000
Powertech
Technology,
Inc.
144,776
14,000
President
Chain
Store
Corporation
113,811
129,000
Quanta
Computer,
Inc.
965,450
40,000
Radiant
Opto-Electronics
Corporation
152,407
73,000
Realtek
Semiconductor
Corporation
896,324
37,000
Sigurd
Microelectronics
Corporation
65,879
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
154
Shares
Common
Stock
(96.1%)
Value
Taiwan
(1.4%)
-
continued
9,180
SinoPac
Financial
Holdings
Company,
Ltd.
$
4,952
27,000
Systex
Corporation
88,631
113,485
Taichung
Commercial
Bank
Company,
Ltd.
a
51,527
448,800
Taiwan
Cooperative
Financial
Holding
Company,
Ltd.
356,113
442,515
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
7,215,758
90,947
Topco
Scientific
Company,
Ltd.
478,005
6,000
TTY
Biopharm
Company,
Ltd.
14,359
197,000
Uni-President
Enterprises
Corporation
428,172
34,000
USI
Corporation
21,854
73,000
Winbond
Electronics
Corporation
57,380
889,556
Yuanta
Financial
Holding
Company,
Ltd.
a
691,020
Total
17,429,143
Thailand
(0.1%)
59,700
Bangchak
Corporation
pcl
NVDR
66,964
256,700
Bangkok
Dusit
Medical
Services
pcl
NVDR
188,007
123,200
Home
Product
Center
pcl
NVDR
42,192
605,100
Krung
Thai
Bank
pcl
NVDR
314,980
1,291,900
Land
and
Houses
pcl
NVDR
276,249
46,000
PTT
pcl
NVDR
42,189
Total
930,581
Turkey
(0.1%)
43,582
BIM
Birlesik
Magazalar
AS
435,995
64,753
KOC
Holding
AS
346,135
2,200
Tofas
Turk
Otomobil
Fabrikasi
AS
23,679
45,097
Turk
Hava
Yollari
Anonim
Ortakligi
a
398,044
Total
1,203,853
United
Arab
Emirates
(0.2%)
19,939
Abu
Dhabi
Islamic
Bank
PJSC
61,125
59,115
Aldar
Properties
PJSC
92,722
239,740
Deyaar
Development
PJSC
a
43,945
249,546
Dubai
Islamic
Bank
PJSC
397,494
441,021
Emaar
Properties
PJSC
965,146
62,602
Emirates
Central
Cooling
Systems
Corporation
32,139
166,147
Emirates
NBD
Bank
PJSC
805,169
Total
2,397,740
United
Kingdom
(10.7%)
26,579
3i
Group
plc
669,015
111,273
AstraZeneca
plc
15,009,094
769,662
Auto
Trader
Group
plc
b
5,783,255
33,993
Babcock
International
Group
plc
a
170,849
49,167
BAE
Systems
plc
597,473
163,951
Balfour
Beatty
plc
642,121
732,390
Barclays
plc
1,411,638
16,317
Bellway
plc
453,322
4,533
Big
Yellow
Group
plc
51,656
9,232
Bodycote
plc
73,498
1,086,604
BP
plc
7,004,221
47,972
Breedon
Group
plc
192,567
41,062
Britvic
plc
435,070
32,275
Bunzl
plc
1,149,442
11,186
Bytes
Technology
Group
plc
68,077
13,424
Central
Asia
Metals
plc
30,792
26,606
Coca-Cola
European
Partners
plc
1,662,343
Shares
Common
Stock
(96.1%)
Value
United
Kingdom
(10.7%)
-
continued
127,908
Compass
Group
plc
$
3,113,504
19,746
Computacenter
plc
608,022
187,895
Diageo
plc
6,927,378
39,819
Domino's
Pizza
Group
plc
182,868
39,303
Drax
Group
plc
210,422
116,216
DS
Smith
plc
405,331
4,011
easyJet
plc
a
20,790
99,833
Evraz
plc
a,c
12
83,275
FirstGroup
plc
153,114
813
Games
Workshop
Group
plc
104,683
8,910
Genus
plc
227,258
11,842
Greggs
plc
352,547
201,873
GSK
plc
3,652,671
247,031
Halma
plc
5,820,266
68,545
Harbour
Energy
plc
214,660
45,344
Hays
plc
60,143
42,576
Hikma
Pharmaceuticals
plc
1,081,147
1,704,151
HSBC
Holdings
plc
13,335,724
251,963
IG
Group
Holdings
plc
1,972,534
8,953
IMI
plc
170,372
238,450
Imperial
Brands
plc
4,837,327
75,724
Inchcape
plc
697,455
87,444
InterContinental
Hotels
Group
plc
6,466,903
5,534
Intermediate
Capital
Group
plc
92,891
22,802
J
D
Wetherspoon
plc
a
192,381
24,512
Jet2
plc
322,311
16,433
Lancashire
Holdings,
Ltd.
118,295
4,983
Liontrust
Asset
Management
plc
36,751
1,217,688
Lloyds
TSB
Group
plc
654,383
257,235
Marks
&
Spencer
Group
plc
a
739,869
34,789
Mondi
plc
580,349
291,563
Moneysupermarket.com
Group
plc
863,021
12,218
Morgan
Sindall
Group
plc
304,713
24,683
Next
plc
2,189,188
41,844
PageGroup
plc
213,964
97,811
Paragon
Banking
Group
plc
584,374
179,802
Pets
at
Home
Group
plc
730,736
42,124
Playtech
plc
a
232,309
91,924
Redde
Northgate
plc
379,091
15,982
Redrow
plc
96,164
284,434
RELX
plc
9,596,842
251,480
Rightmove
plc
1,716,185
90,305
Rio
Tinto
plc
5,670,510
138,472
Rotork
plc
524,595
8,420
RS
Group
plc
75,201
37,069
Safestore
Holdings
plc
331,185
138,030
Sage
Group
plc
1,661,050
433,353
Serco
Group
plc
787,818
562,028
Shell
plc
17,813,148
28,699
Spectris
plc
1,186,469
5,293
Spirax-Sarco
Engineering
plc
612,686
142,614
SSP
Group
plc
a
352,533
62,093
Standard
Chartered
plc
571,106
431,337
Tesco
plc
1,387,398
4,372
TORM
plc
118,327
6,331
Tritax
Big
Box
REIT
plc
10,774
44,212
Virgin
Money
UK
plc
88,841
33,278
Watches
of
Switzerland
Group
plc
a,b
216,727
18,172
Whitbread
plc
764,917
117,306
Wickes
Group
plc
196,512
27,364
YouGov
plc
250,402
5,423
Young
&
Company's
Brewery
plc
70,798
Total
138,354,378
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
155
Shares
Common
Stock
(96.1%)
Value
United
States
(0.1%)
17,328
Yum
China
Holding,
Inc.
$
965,516
Total
965,516
Virgin
Islands,
British
(<0.1%)
4,449
VK
Company,
Ltd.
GDR
a,c
0
Total
0
Total
Common
Stock
(cost
$1,156,878,162)
1,238,602,097
Shares
Collateral
Held
for
Securities
Loaned
(
0.2%
)
3,033,550
Thrivent
Cash
Management
Trust
3,033,550
Total
Collateral
Held
for
Securities
Loaned
(cost
$3,033,550)
3,033,550
Shares
Preferred
Stock
(
<0.1%
)
Brazil
(<0.1%)
26,600
Companhia
de
Saneamento
do
Parana
24,184
Total
24,184
Germany
(<0.1%)
4,164
Bayerische
Motoren
Werke
AG
387,588
Total
387,588
Russian
Federation
(<0.1%)
171
Transneft
PJSC
a,c,e
0
Total
0
South
Korea
(0.1%)
20,184
Samsung
Electronics
Company,
Ltd.
813,142
Total
813,142
Total
Preferred
Stock
(cost
$1,603,251)
1,224,914
Principal
Amount
Long-Term
Fixed
Income
(
<0.1%
)
Venezuela
(0.1%)
Petroleos
de
Venezuela
SA
$
11,370,000
6.000%, 
10/28/2022
g
483,225
7,010,000
6.000%, 
5/16/2024
g
368,025
1,326,000
6.000%, 
11/15/2026
g
69,615
1,410,000
5.375%, 
4/12/2027
g
74,025
210,000
5.500%, 
4/12/2037
g
11,025
Total
1,005,915
Total
Long-Term
Fixed
Income
(cost
$7,583,707)
1,005,915
Shares
or
Principal
Amount
Short-Term
Investments
(
3.1%
)
Federal
Home
Loan
Bank
Discount
Notes
100,000
5.270%,
 10/25/2023
h,i
99,673
500,000
5.284%,
 11/15/2023
h,i
496,874
100,000
5.315%,
 12/13/2023
h,i
98,976
100,000
5.320%,
 12/14/2023
h,i
98,962
1,300,000
5.315%,
 12/15/2023
h,i
1,286,323
Shares
or
Principal
Amount
Short-Term
Investments
(3.1%)
Value
Thrivent
Core
Short-Term
Reserve
Fund
3,826,018
5.650%
$
38,260,185
Total
Short-Term
Investments
(cost
$40,299,203)
40,340,993
Total
Investments
(cost
$1,209,397,873)
99.6%
$1,284,207,469
Other
Assets
and
Liabilities,
Net
0.4%
4,760,618
Total
Net
Assets
100.0%
$1,288,968,087
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$22,696,968
or
1.8%
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
All
or
a
portion
of
the
security
is
on
loan.
e
Pursuant
to
sanctions
related
to
the
Russian
invasion
of
Ukraine
which
restricts
the
ability
of
Russia
and
its
allied
nations
to
make
payments
on
its
dollar-denominated
sovereign
debt
and
equity,
existing
accruals
on
these
securities
have
been
reserved
and
income
is
currently
not
being
accrued.
f
In
bankruptcy.  Income
is
not
being
accrued
per
the
bankruptcy
agreement
terms.
g
Defaulted
security.  Interest
is
not
being
accrued.
h
The
interest
rate
shown
reflects
the
yield.
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
International
Allocation
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
2,883,637
Total
lending
$2,883,637
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$3,033,550
Net
amounts
due
to
counterparty
$149,913
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Bhd
-
Borhad
-
suffix
used
in
Malaysia
to
identify
a
Public
Limited
Company
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
pcl
-
Public
Company
Limited
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
156
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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^
59,836,137
2,747,563
57,088,573
1
Consumer
Discretionary
161,179,354
3,594,011
157,585,343
Consumer
Staples^
76,894,208
2,332,855
74,560,763
590
Energy^
80,834,937
7,834,860
73,000,052
25
Financials^
218,984,030
441,568
218,542,462
0
Health
Care
159,437,913
318,903
159,119,010
Industrials
177,343,116
27,260
177,315,856
Information
Technology
135,033,643
6,587,213
128,446,430
Materials^
107,838,621
1,545,602
106,293,005
14
Real
Estate
27,082,137
260,333
26,821,804
Utilities
34,138,001
113,822
34,024,179
Preferred
Stock
Consumer
Discretionary
387,588
387,588
Energy^
0
Information
Technology
813,142
813,142
Utilities
24,184
24,184
Long-Term
Fixed
Income
Energy
1,005,915
1,005,915
Short-Term
Investments
2,080,808
2,080,808
Subtotal
Investments
in
Securities
$1,242,913,734
$25,803,990
$1,217,109,114
$630
Other
Investments  *
Total
Affiliated
Short-Term
Investments
38,260,185
Collateral
Held
for
Securities
Loaned
3,033,550
Subtotal
Other
Investments
$41,293,735
Total
Investments
at
Value
$1,284,207,469
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
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.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
International
Allocation
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
1,472,071
1,472,071
Total
Liability
Derivatives
$1,472,071
$1,472,071
$–
$–
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
157
Reference
Description:
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
The
following
table
presents
International
Allocation
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$2,080,808
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
ICE
mini
MSCI
EAFE
Index
486
December
2023
$
51,002,291
(
$
1,393,841)
ICE
US
mini
MSCI
Emerging
Markets
Index
65
December
2023
3,183,605
(
78,230)
Total
Futures
Long
Contracts
$
54,185,896
(
$
1,472,071)
Total
Futures
Contracts
$
54,185,896
($1,472,071)
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$80,260
$467,057
$509,057
$38,260
3,826
3.0%
Total
Affiliated
Short-Term
Investments
80,260
38,260
3.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
982
87,555
85,503
3,034
3,034
0.2
Total
Collateral
Held
for
Securities
Loaned
982
3,034
0.2
Total
Value
$81,242
$41,294
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$2,259
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$2,259
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
178
Total
Affiliated
Income
from
Securities
Loaned,
Net
$178
Total
Value
$–
$–
$
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
158
Shares
Common
Stock
(
97
.7
%
)
Value
Australia
(7.0%)
2,709
Ampol,
Ltd.
$
58,488
14,315
APA
Group
76,153
6,689
Aristocrat
Leisure,
Ltd.
174,760
2,201
ASX,
Ltd.
80,508
20,924
Aurizon
Holdings,
Ltd.
46,784
34,162
Australia
and
New
Zealand
Banking
Group,
Ltd.
560,314
57,585
BHP
Group,
Ltd.
1,617,612
5,179
BlueScope
Steel,
Ltd.
64,134
15,793
Brambles,
Ltd.
145,083
746
Cochlear,
Ltd.
122,182
15,214
Coles
Group,
Ltd.
151,849
19,054
Commonwealth
Bank
of
Australia
1,217,095
6,520
Computershare,
Ltd.
108,653
5,483
CSL,
Ltd.
883,328
12,226
DEXUS
Property
Group
56,991
16,287
Endeavour
Group,
Ltd.
54,989
19,250
Fortescue
Metals
Group,
Ltd.
255,891
19,273
Goodman
Group
264,153
21,775
GPT
Group
54,225
2,848
IDP
Education,
Ltd.
38,976
7,747
Independence
Group
NL
62,170
27,743
Insurance
Australia
Group,
Ltd.
100,639
7,836
Lendlease
Corporation,
Ltd.
35,936
25,301
Lottery
Corporation,
Ltd.
76,460
4,174
Macquarie
Group,
Ltd.
446,986
31,306
Medibank
Private,
Ltd.
69,097
1,990
Mineral
Resources,
Ltd.
85,454
44,854
Mirvac
Group
60,965
35,688
National
Australia
Bank,
Ltd.
662,525
10,165
Newcrest
Mining,
Ltd.
160,165
13,075
Northern
Star
Resources,
Ltd.
86,821
5,178
Orica,
Ltd.
51,629
19,583
Origin
Energy,
Ltd.
110,271
30,673
Pilbara
Minerals,
Ltd.
83,682
9,778
Qantas
Airways,
Ltd.
a
32,370
16,961
QBE
Insurance
Group,
Ltd.
169,903
2,094
Ramsay
Health
Care,
Ltd.
69,501
601
REA
Group,
Ltd.
59,356
2,570
Reece,
Ltd.
30,592
4,220
Rio
Tinto,
Ltd.
304,380
36,919
Santos,
Ltd.
186,110
59,001
Scentre
Group
92,712
4,049
SEEK,
Ltd.
57,201
5,084
Sonic
Healthcare,
Ltd.
97,079
51,670
South32,
Ltd.
111,566
27,136
Stockland
67,915
14,397
Suncorp
Group,
Ltd.
128,272
45,970
Telstra
Corporation,
Ltd.
113,576
35,018
Transurban
Group
284,544
8,206
Treasury
Wine
Estates,
Ltd.
64,800
43,985
Vicinity
Centres
47,669
2,667
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
55,636
12,896
Wesfarmers,
Ltd.
436,452
39,889
Westpac
Banking
Corporation
539,202
1,886
Wisetech
Global,
Ltd.
78,289
21,584
Woodside
Energy
Group,
Ltd.
501,851
13,853
Woolworths,
Ltd.
331,658
Total
11,985,602
Austria
(0.2%)
3,909
Erste
Group
Bank
AG
135,005
1,674
OMV
AG
79,958
774
Verbund
AG
62,966
Shares
Common
Stock
(97.7%)
Value
Austria
(0.2%)
-
continued
1,319
Voestalpine
AG
$
35,910
Total
313,839
Belgium
(0.8%)
1,816
Ageas
SA
NV
74,794
9,874
Anheuser-Busch
InBev
NV
547,377
244
D'ieteren
Group
41,137
334
Elia
System
Operator
SA
32,685
1,084
Groupe
Bruxelles
Lambert
SA
80,661
2,845
KBC
Groep
NV
177,120
5
Lotus
Bakeries
NV
40,651
175
Sofina
SA
35,370
842
Solvay
SA
93,049
1,437
UCB
SA
117,704
2,381
Umicore
SA
56,374
1,884
Warehouses
De
Pauw
CVA
46,561
Total
1,343,483
Bermuda
(0.1%)
7,000
CK
Infrastructure
Holdings,
Ltd.
33,028
12,600
Hongkong
Land
Holdings,
Ltd.
44,936
1,800
Jardine
Matheson
Holdings,
Ltd.
83,556
Total
161,520
Cayman
Islands
(0.3%)
19,600
Budweiser
Brewing
Company
APAC,
Ltd.
b
38,518
24,800
ESR
Cayman,
Ltd.
b
34,669
631
Futu
Holdings,
Ltd.
ADR
a
36,478
21,297
Grab
Holdings,
Ltd.
a
75,392
27,600
Sands
China,
Ltd.
a
83,931
4,148
Sea,
Ltd.
ADR
a
182,305
15,000
SITC
International
Holdings
Company,
Ltd.
25,167
95,033
WH
Group,
Ltd.
b
49,742
19,000
Wharf
Real
Estate
Investment
Company,
Ltd.
73,225
Total
599,427
Denmark
(3.2%)
34
A.P.
Moller
-
Maersk
AS,
Class
A
60,170
55
A.P.
Moller
-
Maersk
AS,
Class
B
98,939
1,119
Carlsberg
AS
141,089
1,199
Christian
Hansen
Holding
AS
73,347
1,553
Coloplast
AS
164,334
7,841
Danske
Bank
AS
181,958
1,146
Demant
AS
a
47,320
2,116
DSV
AS
394,297
751
Genmab
AS
a
265,892
37,096
Novo
Nordisk
AS
3,377,637
2,325
Novozymes
AS
93,546
2,150
Orsted
AS
b
116,967
961
Pandora
AS
99,167
105
Rockwool
International
AS
25,377
3,969
Tryg
AS
72,630
11,480
Vestas
Wind
Systems
AS
a
245,602
Total
5,458,272
Finland
(1.1%)
1,617
Elisa
Oyj
74,985
5,100
Fortum
Oyj
59,145
3,105
Kesko
Oyj
55,630
3,864
KONE
Oyj
162,829
7,539
Metso
Oyj
79,061
4,809
Neste
Oil
Oyj
162,874
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
159
Shares
Common
Stock
(97.7%)
Value
Finland
(1.1%)
-
continued
60,823
Nokia
Oyj
$
228,699
36,619
Nordea
Bank
Abp
401,481
1,224
Orion
Oyj
48,086
5,228
Sampo
Oyj
226,014
6,613
Stora
Enso
Oyj
82,883
6,067
UPM-Kymmene
Oyj
207,740
5,381
Wartsila
Corporation
60,988
Total
1,850,415
France
(10.9%)
2,108
Accor
SA
70,902
337
Aeroports
de
Paris
SA
39,743
5,954
Air
Liquide
SA
1,002,842
3,256
Alstom
SA
77,386
695
Amundi
SA
b
39,036
682
Arkema
SA
67,136
20,862
AXA
SA
618,952
471
BioMerieux
45,565
11,926
BNP
Paribas
SA
758,330
8,387
Bollore
SA
45,015
2,167
Bouygues
SA
75,768
3,353
Bureau
Veritas
SA
83,141
1,875
Capgemini
SA
327,176
6,792
Carrefour
SA
116,653
7,712
Cie
Generale
des
Etablissements
Michelin
SCA
236,041
5,258
Compagnie
de
Saint-Gobain
SA
314,694
574
Covivio
25,461
13,759
Credit
Agricole
SA
169,164
7,319
Danone
SA
403,700
235
Dassault
Aviation
SA
44,262
7,616
Dassault
Systemes
SE
282,877
2,837
Edenred
SE
177,471
836
Eiffage
SA
79,351
20,762
Engie
SA
318,410
3,352
EssilorLuxottica
SA
583,066
495
Eurazeo
SE
29,455
523
Gecina
SA
53,324
4,064
Groupe
Eurotunnel
SA
64,788
360
Hermes
International
SCA
656,218
429
Ipsen
SA
56,208
846
Kering
SA
384,391
2,446
Klepierre
SA
59,892
1,194
La
Francaise
des
Jeux
SAEM
b
38,781
3,033
Legrand
SA
279,940
2,742
L'Oreal
SA
1,136,318
3,139
LVMH
Moet
Hennessy
Louis
Vuitton
SE
2,369,414
21,167
Orange
SA
242,791
2,325
Pernod-Ricard
SA
387,089
2,602
Publicis
Groupe
SA
196,952
260
Remy
Cointreau
SA
31,698
2,185
Renault
SA
89,403
3,885
Safran
SA
608,815
12,915
Sanofi
1,386,751
314
Sartorius
Stedim
Biotech
74,702
6,186
Schneider
Electric
SE
1,019,405
283
SEB
SA
26,400
8,269
Societe
Generale
SA
200,090
1,006
Sodexo
SA
103,565
672
Teleperformance
SE
84,374
1,195
Thales
SA
167,949
25,562
TotalEnergies
SE
1,680,685
2,353
Valeo
SE
40,377
7,725
Veolia
Environnement
SA
223,300
Shares
Common
Stock
(97.7%)
Value
France
(10.9%)
-
continued
6,041
Vinci
SA
$
668,322
7,766
Vivendi
SE
68,016
303
Wendel
SA
23,951
2,731
Worldline
SA
a,b
76,663
Total
18,532,169
Germany
(7.8%)
1,842
Adidas
AG
323,103
4,585
Allianz
SE
1,091,121
10,161
BASF
SE
459,937
11,168
Bayer
AG
536,337
3,422
Bayerische
Motoren
Werke
AG
347,563
931
Bechtle
AG
43,357
1,146
Beiersdorf
AG
147,822
1,665
Brenntag
AG
128,832
458
Carl
Zeiss
Meditec
AG
39,925
12,101
Commerzbank
AG
137,338
1,250
Continental
AG
87,827
2,196
Covestro
AG
a,b
118,090
5,613
Daimler
Truck
Holding
AG
194,346
1,991
Delivery
Hero
AG
a,b
56,850
22,033
Deutsche
Bank
AG
242,149
2,160
Deutsche
Boerse
AG
373,025
6,795
Deutsche
Lufthansa
AG
a
53,772
11,268
Deutsche
Post
AG
457,205
36,844
Deutsche
Telekom
AG
772,870
1,294
Dr.
Ing.
h.c.
F.
Porsche
AG
b
121,412
25,521
E.ON
SE
301,812
2,384
Evonik
Industries
AG
43,485
2,335
Fresenius
Medical
Care
AG
&
Company
KGaA
100,386
4,802
Fresenius
SE
&
Company
KGaA
149,151
1,744
GEA
Group
AG
64,274
685
Hannover
Rueckversicherung
SE
150,302
1,646
Heidelberg
Materials
AG
127,483
1,748
HelloFresh
SE
a
51,941
1,181
Henkel
AG
&
Company
KGaA
74,464
14,845
Infineon
Technologies
AG
491,678
825
Knorr-Bremse
AG
52,303
842
LEG
Immobilien
AG
a
57,902
9,121
Mercedes-Benz
Group
AG
634,792
1,469
Merck
KGaA
244,893
612
MTU
Aero
Engines
AG
110,839
1,551
Muenchener
Rueckversicherungs-
Gesellschaft
AG
604,041
656
Nemetschek
SE
39,923
1,741
Porsche
Automobil
Holding
SE
85,639
1,200
PUMA
SE
74,199
58
Rational
AG
36,697
495
Rheinmetall
AG
127,339
7,187
RWE
AG
266,780
11,870
SAP
SE
1,536,477
298
Sartorius
AG
100,931
849
Scout24
SE
b
58,868
8,639
Siemens
AG
1,234,589
5,906
Siemens
Energy
AG
a
76,971
3,206
Siemens
Healthineers
AG
b
162,166
1,509
Symrise
AG
143,655
720
Talanx
AG
45,569
10,144
Telefonica
Deutschland
Holding
AG
18,143
335
Volkswagen
AG
43,995
8,334
Vonovia
SE
199,669
207
Wacker
Chemie
AG
29,559
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
160
Shares
Common
Stock
(97.7%)
Value
Germany
(7.8%)
-
continued
2,547
Zalando
SE
a,b
$
56,590
Total
13,330,386
Hong
Kong
(2.0%)
131,400
AIA
Group,
Ltd.
1,062,651
42,000
BOC
Hong
Kong
(Holdings),
Ltd.
114,655
22,500
CK
Asset
Holdings,
Ltd.
118,184
30,500
CK
Hutchison
Holdings,
Ltd.
161,927
18,500
CLP
Holdings,
Ltd.
136,602
25,000
Galaxy
Entertainment
Group,
Ltd.
149,590
20,000
Hang
Lung
Properties,
Ltd.
27,363
8,700
Hang
Seng
Bank,
Ltd.
107,945
17,000
Henderson
Land
Development
Company,
Ltd.
44,641
43,000
HKT
Trust
and
HKT,
Ltd.
44,839
127,162
Hong
Kong
and
China
Gas
Company,
Ltd.
88,478
13,700
Hong
Kong
Exchanges
&
Clearing,
Ltd.
508,445
28,760
Link
REIT
140,623
17,500
MTR
Corporation,
Ltd.
69,132
17,000
New
World
Development
Company,
Ltd.
32,961
15,500
Power
Assets
Holdings,
Ltd.
74,857
42,571
Sino
Land
Company,
Ltd.
47,877
16,500
Sun
Hung
Kai
Properties,
Ltd.
176,054
5,000
Swire
Pacific,
Ltd.
33,678
13,200
Swire
Properties,
Ltd.
27,452
15,500
Techtronic
Industries
Company,
Ltd.
149,631
19,000
Xinyi
Glass
Holdings
Company,
Ltd.
24,483
Total
3,342,068
Ireland
(0.9%)
16,373
AIB
Group
plc
73,387
12,011
Bank
of
Ireland
Group
plc
117,415
8,248
CRH
plc
c
428,842
1,123
DCC
plc
62,877
2,007
Flutter
Entertainment
plc
a
327,403
5,003
James
Hardie
Industries
plc
a
130,845
1,812
Kerry
Group
plc
151,401
1,758
Kingspan
Group
plc
131,293
2,957
Smurfit
Kappa
Group
plc
98,231
Total
1,521,694
Isle
of
Man
(<0.1%)
7,261
Entain
plc
82,354
Total
82,354
Israel
(0.7%)
482
Azrieli
Group,
Ltd.
24,742
14,441
Bank
Hapoalim
BM
128,664
17,448
Bank
Leumi
Le-Israel
BM
144,572
1,064
Check
Point
Software
Technologies,
Ltd.
a
141,810
475
CyberArk
Software,
Ltd.
a
77,791
302
Elbit
Systems,
Ltd.
59,858
1,000
Global-e
Online,
Ltd.
a
39,740
8,794
ICL
Group,
Ltd.
48,526
14,062
Israel
Discount
Bank,
Ltd.
76,218
1,755
Mizrahi
Tefahot
Bank,
Ltd.
63,732
247
Monday.com,
Ltd.
a
39,327
719
NICE,
Ltd.
a
122,632
Shares
Common
Stock
(97.7%)
Value
Israel
(0.7%)
-
continued
12,736
Teva
Pharmaceutical
Industries,
Ltd.
ADR
a
$
129,907
617
Wix.com,
Ltd.
a
56,641
Total
1,154,160
Italy
(1.9%)
1,415
Amplifon
SPA
41,885
11,521
Assicurazioni
Generali
SPA
235,171
5,942
Davide
Campari-Milano
NV
69,951
254
DiaSorin
SPA
23,130
92,455
Enel
SPA
567,003
26,863
Eni
SPA
431,522
6,941
Finecobank
Banca
Fineco
SPA
83,815
3,820
Infrastrutture
Wireless
Italiane
SPA
b
45,391
176,654
Intesa
Sanpaolo
SPA
452,450
6,275
Mediobanca
SPA
82,730
2,341
Moncler
SPA
135,673
6,713
Nexi
Spa
a,b
40,903
5,939
Poste
Italiane
SPA
b
62,367
2,985
Prysmian
SPA
119,813
1,189
Recordati
SPA
56,032
22,923
Snam
SPA
107,561
113,267
Telecom
Italia
SPA
a
35,324
15,994
Terna
Rete
Elettrica
Nazionale
SPA
120,298
20,959
UniCredit
SPA
499,377
Total
3,210,396
Japan
(22.5%)
8,800
Advantest
Corporation
a
245,463
7,400
Aeon
Company,
Ltd.
146,580
2,200
AGC,
Inc.
77,104
1,700
Aisin
Corporation
64,235
5,100
Ajinomoto
Company,
Inc.
196,649
1,800
All
Nippon
Airways
Company,
Ltd.
a
37,689
5,507
Asahi
Group
Holdings,
Ltd.
205,711
2,500
Asahi
Intecc
Company,
Ltd.
44,821
14,300
Asahi
Kasei
Corporation
90,011
20,600
Astellas
Pharma,
Inc.
285,138
1,300
Azbil
Corporation
39,714
6,800
Bandai
Namco
Holdings,
Inc.
138,315
1,500
BayCurrent
Consulting,
Inc.
49,984
6,500
Bridgestone
Corporation
253,292
2,600
Brother
Industries,
Ltd.
41,881
11,400
Canon,
Inc.
274,611
2,000
Capcom
Company,
Ltd.
71,984
8,000
Central
Japan
Railway
Company
a
194,544
6,000
Chiba
Bank,
Ltd.
43,591
7,300
Chubu
Electric
Power
Company,
Inc.
92,928
7,600
Chugai
Pharmaceutical
Company,
Ltd.
234,339
12,000
Concordia
Financial
Group,
Ltd.
54,666
4,900
CyberAgent,
Inc.
26,377
2,500
Dai
Nippon
Printing
Company,
Ltd.
65,045
3,500
Daifuku
Company,
Ltd.
66,068
10,700
Dai-Ichi
Mutual
Life
Insurance
Company,
Ltd.
220,894
21,000
Daiichi
Sankyo
Company,
Ltd.
574,924
3,000
Daikin
Industries,
Ltd.
470,315
700
Daito
Trust
Construction
Company,
Ltd.
73,733
6,700
Daiwa
House
Industry
Company,
Ltd.
179,824
25
Daiwa
House
REIT
Investment
Corporation
44,109
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
161
Shares
Common
Stock
(97.7%)
Value
Japan
(22.5%)
-
continued
15,200
Daiwa
Securities
Group,
Inc.
$
87,652
19,600
Denso
Corporation
a
314,499
2,300
Dentsu
Group,
Inc.
67,647
1,000
DISCO
Corporation
184,756
3,400
East
Japan
Railway
Company
194,572
2,900
Eisai
Company,
Ltd.
160,729
32,800
Eneos
Holdings,
Inc.
129,105
10,800
FANUC
Corporation
280,880
2,000
Fast
Retailing
Company,
Ltd.
435,630
1,400
Fuji
Electric
Company,
Ltd.
63,050
4,200
FUJIFILM
Holdings
NPV
242,973
2,000
Fujitsu,
Ltd.
235,222
53
GLP
J-REIT
47,372
500
GMO
Payment
Gateway,
Inc.
27,282
2,400
Hakuhodo
DY
Holdings,
Inc.
19,714
1,600
Hamamatsu
Photonics
KK
67,286
2,600
Hankyu
Hanshin
Holdings,
Inc.
88,714
200
Hikari
Tsushin,
Inc.
30,459
400
Hirose
Electric
Company,
Ltd.
46,269
1,200
Hitachi
Construction
Machinery
Company,
Ltd.
36,415
10,700
Hitachi,
Ltd.
663,160
52,500
Honda
Motor
Company,
Ltd.
a
590,609
1,200
Hoshizaki
Corporation
41,657
4,000
Hoya
Corporation
409,670
4,400
Hulic
Company,
Ltd.
39,454
1,300
IBIDEN
Company,
Ltd.
68,953
2,200
Idemitsu
Kosan
Company,
Ltd.
50,435
1,800
Iida
Group
Holdings
Company,
Ltd.
29,870
11,000
Inpex
Corporation
164,982
6,600
Isuzu
Motors,
Ltd.
82,973
13,500
ITOCHU
Corporation
487,538
1,600
Japan
Airlines
Company,
Ltd.
31,087
5,700
Japan
Exchange
Group,
Inc.
105,600
79
Japan
Metropolitan
Fund
Investment
Corporation
51,236
16,400
Japan
Post
Bank
Company,
Ltd.
142,710
25,600
Japan
Post
Holdings
Company,
Ltd.
204,804
2,200
Japan
Post
Insurance
Company,
Ltd.
37,001
15
Japan
Real
Estate
Investment
Corporation
58,451
13,600
Japan
Tobacco,
Inc.
312,909
5,600
JFE
Holdings,
Inc.
82,008
2,000
JSR
Corporation
53,655
4,800
Kajima
Corporation
78,134
8,000
Kansai
Electric
Power
Company,
Inc.
110,756
5,300
Kao
Corporation
196,445
1,600
Kawasaki
Kisen
Kaisha,
Ltd.
d
54,601
17,000
KDDI
Corporation
520,378
1,200
Keio
Corporation
41,254
1,500
Keisei
Electric
Railway
Company,
Ltd.
51,958
2,200
Keyence
Corporation
813,617
1,500
Kikkoman
Corporation
78,619
2,100
Kintetsu
Group
Holdings
Company,
Ltd.
59,541
8,800
Kirin
Holdings
Company,
Ltd.
123,204
600
Kobayashi
Pharmaceutical
Company,
Ltd.
26,760
1,700
Kobe
Bussan
Company,
Ltd.
39,799
1,340
Koei
Tecmo
Holdings
Company,
Ltd.
19,038
2,400
Koito
Manufacturing
Company,
Ltd.
36,191
Shares
Common
Stock
(97.7%)
Value
Japan
(22.5%)
-
continued
10,500
Komatsu,
Ltd.
$
283,197
1,100
Konami
Group
Corporation
57,997
400
KOSE
Corporation
28,993
11,500
Kubota
Corporation
169,174
1,200
Kurita
Water
Industries,
Ltd.
41,759
3,600
Kyocera
Corporation
182,512
3,100
Kyowa
Hakko
Kirin
Company,
Ltd.
53,899
900
Lasertec
Corporation
139,961
3,300
LIXIL
Corporation
38,352
30,400
LY
Corporation
84,333
5,000
M3,
Inc.
90,694
2,500
Makita
Corporation
61,648
16,400
Marubeni
Corporation
255,647
3,900
MatsukiyoCocokara
&
Company
a
69,861
6,500
Mazda
Motor
Corporation
73,804
1,000
McDonald's
Holdings
Company
(Japan),
Ltd.
38,209
2,700
MEIJI
Holdings
Company,
Ltd.
67,106
4,100
Minebea
Mitsumu,
Inc.
66,802
3,200
MISUMI
Group,
Inc.
49,832
14,600
Mitsubishi
Chemical
Group
Corporation
91,981
13,100
Mitsubishi
Corporation
624,219
22,000
Mitsubishi
Electric
Corporation
271,798
12,800
Mitsubishi
Estate
Company,
Ltd.
166,989
9,200
Mitsubishi
HC
Capital,
Inc.
61,300
3,600
Mitsubishi
Heavy
Industries,
Ltd.
200,797
129,800
Mitsubishi
UFJ
Financial
Group,
Inc.
1,099,945
14,900
Mitsui
&
Company,
Ltd.
540,422
1,900
Mitsui
Chemicals,
Inc.
49,225
10,100
Mitsui
Fudosan
Company,
Ltd.
222,443
3,900
Mitsui
O.S.K.
Lines,
Ltd.
107,168
27,430
Mizuho
Financial
Group,
Inc.
465,705
2,800
MonotaRO
Company,
Ltd.
29,851
4,900
MS
and
AD
Insurance
Group
Holdings,
Inc.
179,312
19,500
Murata
Manufacturing
Company,
Ltd.
a
355,722
2,800
NEC
Corporation
154,623
3,900
NEXON
Company,
Ltd.
69,688
2,700
NGK
Insulators,
Ltd.
35,785
4,700
Nidec
Corporation
217,015
11,800
Nintendo
Company,
Ltd.
490,325
17
Nippon
Building
Fund,
Inc.
68,842
800
Nippon
Express
Holdings,
Inc.
41,744
10,800
Nippon
Paint
Holdings
Company,
Ltd.
72,534
26
Nippon
Prologis
REIT,
Inc.
48,541
2,000
Nippon
Sanso
Holdings
Corporation
47,353
9,700
Nippon
Steel
Corporation
227,253
339,700
Nippon
Telegraph
and
Telephone
Corporation
402,081
5,500
Nippon
Yusen
Kabushiki
Kaisha
142,807
1,400
Nissan
Chemical
Corporation
59,513
26,400
Nissan
Motor
Company,
Ltd.
116,510
700
Nissin
Foods
Holdings
Company,
Ltd.
58,165
900
Nitori
Holdings
Company,
Ltd.
100,346
1,600
Nitto
Denko
Corporation
104,921
34,200
Nomura
Holdings,
Inc.
136,952
1,200
Nomura
Real
Estate
Holdings,
Inc.
30,127
48
Nomura
Real
Estate
Master
Fund,
Inc.
53,760
4,400
Nomura
Research
Institute,
Ltd.
114,364
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
162
Shares
Common
Stock
(97.7%)
Value
Japan
(22.5%)
-
continued
7,200
NTT
Data
Group
Corporation
$
96,346
7,400
Obayashi
Corporation
65,119
800
OBIC
Company,
Ltd.
121,216
3,600
Odakyu
Electric
Railway
Company,
Ltd.
53,790
9,800
Oji
Holdings
Corporation
41,231
14,400
Olympus
Corporation
186,962
2,000
OMRON
Corporation
89,003
4,400
Ono
Pharmaceutical
Company,
Ltd.
84,385
900
Open
House
Company,
Ltd.
30,516
400
Oracle
Corporation
Japan
29,630
12,400
Oriental
Land
Company,
Ltd.
406,815
13,300
ORIX
Corporation
248,343
4,300
Osaka
Gas
Company,
Ltd.
70,756
1,300
Otsuka
Corporation
55,001
4,400
Otsuka
Holdings
Company,
Ltd.
156,222
4,300
Pan
Pacific
International
Holdings
Company
90,244
25,100
Panasonic
Holdings
Corporation
283,323
21,000
Persol
Holdings
Company,
Ltd.
a
34,109
17,000
Rakuten
Group,
Inc.
69,849
16,400
Recruit
Holdings
Company,
Ltd.
501,759
14,500
Renesas
Electronics
Corporation
a
221,487
24,300
Resona
Holdings,
Inc.
134,359
6,200
Ricoh
Company,
Ltd.
53,493
4,000
Rohm
Company,
Ltd.
a
75,197
2,800
SBI
Holdings,
Inc.
58,928
1,800
SCSK
Corporation
31,383
2,400
Secom
Company,
Ltd.
162,818
3,300
Seiko
Epson
Corporation
51,825
4,400
Sekisui
Chemical
Company,
Ltd.
63,303
6,800
Sekisui
House,
Ltd.
135,330
8,600
Seven
&
I
Holdings
Company,
Ltd.
336,692
3,600
SG
Holdings
Company,
Ltd.
46,087
3,000
Sharp
Corporation
a
18,677
2,700
Shimadzu
Corporation
71,618
900
Shimano,
Inc.
120,460
6,300
Shimizu
Corporation
43,762
20,700
Shin-Etsu
Chemical
Company,
Ltd.
601,245
3,000
Shionogi
&
Company,
Ltd.
133,813
4,500
Shiseido
Company,
Ltd.
157,699
5,300
Shizuoka
Financial
Group,
Inc.
43,192
700
SMC
Corporation
313,784
32,700
SoftBank
Corporation
370,108
11,700
SoftBank
Group
Corporation
492,869
3,400
Sompo
Holdings,
Inc.
145,713
14,300
Sony
Group
Corporation
1,169,391
1,000
Square
Enix
Holdings
Company,
Ltd.
34,265
7,000
Subaru
Corporation
136,111
4,000
Sumco
Corporation
52,052
16,100
Sumitomo
Chemical
Company,
Ltd.
43,791
11,900
Sumitomo
Corporation
237,499
8,100
Sumitomo
Electric
Industries,
Ltd.
97,580
2,800
Sumitomo
Metal
Mining
Company,
Ltd.
82,225
14,400
Sumitomo
Mitsui
Financial
Group,
Inc.
707,415
3,700
Sumitomo
Mitsui
Trust
Holdings,
Inc.
139,294
3,200
Sumitomo
Realty
&
Development
Company,
Ltd.
83,077
1,600
Suntory
Beverage
and
Food,
Ltd.
48,693
4,200
Suzuki
Motor
Corporation
168,928
1,900
Sysmex
Corporation
90,283
5,700
T&D
Holdings,
Inc.
93,737
Shares
Common
Stock
(97.7%)
Value
Japan
(22.5%)
-
continued
1,900
Taisei
Corporation
$
66,872
18,000
Takeda
Pharmaceutical
Company,
Ltd.
557,937
4,400
TDK
Corporation
162,669
7,600
Terumo
Corporation
201,178
2,500
TIS,
Inc.
54,973
2,100
Tobu
Railway
Company,
Ltd.
53,973
1,300
Toho
Company,
Ltd.
44,350
20,500
Tokio
Marine
Holdings,
Inc.
474,651
17,400
Tokyo
Electric
Power
Company
Holdings,
Inc.
a
77,616
5,400
Tokyo
Electron,
Ltd.
737,598
4,400
Tokyo
Gas
Company,
Ltd.
99,760
5,700
Tokyu
Corporation
65,718
2,800
TOPPAN
Holdings,
Inc.
66,980
15,800
Toray
Industries,
Inc.
82,208
3,000
Tosoh
Corporation
38,463
1,500
TOTO,
Ltd.
38,707
1,700
Toyota
Industries
Corporation
133,816
120,500
Toyota
Motor
Corporation
2,161,810
2,400
Toyota
Tsusho
Corporation
141,159
1,500
Trend
Micro,
Inc.
56,780
4,600
Unicharm
Corporation
162,646
2,300
USS
Company,
Ltd.
38,022
1,100
Welcia
Holdings
Company,
Ltd.
18,996
2,500
West
Japan
Railway
Company
103,452
2,950
Yakult
Honsha
Company,
Ltd.
a
71,646
1,600
Yamaha
Corporation
43,699
3,400
Yamaha
Motor
Company,
Ltd.
89,376
3,000
Yamato
Holdings
Company,
Ltd.
48,829
2,700
Yaskawa
Electric
Corporation
97,230
2,600
Yokogawa
Electric
Corporation
50,182
1,100
Zensho
Holdings
Company,
Ltd.
47,767
1,600
ZOZO,
Inc.
29,298
Total
38,338,891
Jersey
(0.7%)
10,458
Experian
plc
342,058
119,727
Glencore
plc
681,791
12,218
WPP
plc
108,855
Total
1,132,704
Luxembourg
(0.2%)
5,817
ArcelorMittal
SA
145,635
1,534
Eurofins
Scientific
SE
86,452
5,368
Tenaris
SA
84,792
Total
316,879
Netherlands
(5.7%)
4,591
ABN
AMRO
Bank
NV
b
64,882
247
Adyen
NV
a,b
183,134
19,325
Aegon,
Ltd.
93,141
1,988
AerCap
Holdings
NV
a
124,588
6,739
Airbus
SE
902,005
1,939
Akzo
Nobel
NV
139,799
636
Argenx
SE
a
310,894
534
ASM
International
NV
222,995
4,583
ASML
Holding
NV
2,698,243
1,817
ASR
Nederland
NV
67,987
876
BE
Semiconductor
Industries
NV
85,678
11,632
CNH
Industrial
NV
141,208
974
Euronext
NV
b
67,751
1,233
EXOR
NV
109,057
1,433
Ferrari
NV
422,428
5,788
Ferrovial
SE
176,864
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
163
Shares
Common
Stock
(97.7%)
Value
Netherlands
(5.7%)
-
continued
1,473
Heineken
Holding
NV
$
111,007
3,274
Heineken
NV
288,641
648
IMCD
NV
81,930
41,144
ING
Groep
NV
542,281
1,429
JDE
Peet's
BV
39,916
36,715
Koninklijke
(Royal)
KPN
NV
120,964
11,041
Koninklijke
Ahold
Delhaize
NV
332,772
10,556
Koninklijke
Philips
NV
210,616
2,850
NN
Group
NV
91,366
1,199
OCI
NV
33,341
17,375
Prosus
NV
a
511,972
2,592
QIAGEN
NV
a
104,586
1,255
Randstad
Holding
NV
69,334
25,149
Stellantis
NV
481,564
7,769
STMicroelectronics
NV
335,023
9,314
Universal
Music
Group
NV
243,060
2,927
Wolters
Kluwer
NV
354,388
Total
9,763,415
New
Zealand
(0.3%)
14,231
Auckland
International
Airport,
Ltd.
67,467
1,746
EBOS
Group,
Ltd.
35,768
6,586
Fisher
&
Paykel
Healthcare
Corporation,
Ltd.
84,914
7,882
Mercury
NZ,
Ltd.
28,800
14,682
Meridian
Energy,
Ltd.
45,153
20,973
Spark
New
Zealand,
Ltd.
60,378
1,635
Xero,
Ltd.
a
117,586
Total
440,066
Norway
(0.7%)
3,313
Adevinta
ASA
a
32,639
3,592
Aker
BP
ASA
99,182
10,521
DNB
Bank
ASA
211,385
10,267
Equinor
ASA
336,471
2,273
Gjensidige
Forsikring
ASA
33,353
1,000
Kongsberg
Gruppen
ASA
41,214
4,996
Mowi
ASA
88,306
15,082
Norsk
Hydro
ASA
94,381
8,538
Orkla
ASA
63,770
825
SalMar
ASA
41,785
7,954
Telenor
ASA
90,203
1,882
Yara
International
ASA
71,063
Total
1,203,752
Portugal
(0.2%)
35,671
EDP
-
Energias
de
Portugal
SA
148,318
5,594
Galp
Energia
SGPS
SA
82,859
3,219
Jeronimo
Martins
SGPS
SA
72,293
Total
303,470
Singapore
(1.3%)
60,529
CapitaLand
Integrated
Commercial
Trust
81,685
29,600
Capitaland
Investment,
Ltd.
66,883
42,454
Capland
Ascendas
REIT
85,149
5,700
City
Developments,
Ltd.
27,508
20,600
DBS
Group
Holdings,
Ltd.
505,929
68,700
Genting
Singapore,
Ltd.
42,411
1,100
Jardine
Cycle
&
Carriage,
Ltd.
25,645
16,600
Keppel
Corporation,
Ltd.
82,433
39,323
Mapletree
Logistics
Trust
48,207
26,800
Mapletree
Pan
Asia
Commercial
Trust
27,970
Shares
Common
Stock
(97.7%)
Value
Singapore
(1.3%)
-
continued
38,463
Oversea-Chinese
Banking
Corporation,
Ltd.
$
359,708
504,209
Seatrium,
Ltd.
a
49,302
10,200
Sembcorp
Industries,
Ltd.
37,912
16,900
Singapore
Airlines,
Ltd.
79,721
9,700
Singapore
Exchange,
Ltd.
69,006
17,700
Singapore
Technologies
Engineering,
Ltd.
50,513
93,900
Singapore
Telecommunications,
Ltd.
166,212
14,400
United
Overseas
Bank,
Ltd.
299,925
5,300
United
Overseas
Land,
Ltd.
24,791
21,800
Wilmar
International,
Ltd.
59,324
Total
2,190,234
Spain
(2.5%)
281
Acciona
SA
35,787
2,490
ACS
Actividades
de
Construccion
y
Servicios
SA
a
89,515
853
Aena
SME
SA
b
128,357
5,121
Amadeus
IT
Holding
SA
309,322
67,812
Banco
Bilbao
Vizcaya
Argentaria
SA
548,798
183,972
Banco
Santander
SA
700,578
46,904
CaixaBank
SA
186,865
6,425
Cellnex
Telecom
SA
b
223,474
749
Corp
ACCIONA
Energias
Renovables
SA
19,292
3,492
EDP
Renovaveis
SA
a
57,190
2,829
Enagas
SA
46,847
3,611
Endesa
SA
73,489
3,391
Grifols
SA
a
43,920
69,207
Iberdrola
SA
774,042
12,400
Industria
de
Diseno
Textil
SA
461,430
1,433
Naturgy
Energy
Group
SA
38,985
4,613
Redeia
Corporacion
SA
72,569
14,521
Repsol
SA
238,856
58,831
Telefonica
SA
240,345
Total
4,289,661
Supranational
(<0.1%)
1,343
Unibail-Rodamco-Westfield
a
66,043
Total
66,043
Sweden
(2.8%)
1,480
AB
Industrivarden,
Class
A
39,026
1,755
AB
Industrivarden,
Class
C
46,246
3,289
Alfa
Laval
AB
112,674
11,394
Assa
Abloy
AB
247,575
30,534
Atlas
Copco
AB,
Class
A
410,092
17,743
Atlas
Copco
AB,
Class
B
207,505
4,375
Beijer
Ref
AB
46,031
3,109
Boliden
AB
89,218
7,491
Epiroc
AB,
Class
A
142,234
4,433
Epiroc
AB,
Class
B
70,916
4,042
EQT
AB
79,640
6,924
Essity
Aktiebolag
149,332
2,083
Evolution
Gaming
Group
AB
b
210,194
7,411
Fastighets
AB
Balder
a
33,222
2,600
Getinge
AB
45,688
7,342
Hennes
&
Mauritz
AB
104,111
23,601
Hexagon
AB
200,862
1,066
Holmen
AB
41,436
3,975
Husqvarna
AB
30,334
3,106
Indutrade
AB
57,364
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
164
Shares
Common
Stock
(97.7%)
Value
Sweden
(2.8%)
-
continued
1,683
Investment
AB
Latour
$
29,580
19,675
Investor
AB,
Class
B
376,668
864
L
E
Lundbergforetagen
AB
36,026
2,650
Lifco
AB
46,357
17,227
NIBE
Industrier
AB
112,626
910
Saab
AB
46,315
2,242
Sagax
AB
42,588
12,120
Sandvik
AB
223,012
5,591
Securitas
AB
44,209
18,039
Skandinaviska
Enskilda
Banken
AB
215,058
3,868
Skanska
AB
63,515
3,874
SKF
AB
64,314
6,887
Svenska
Cellulosa
AB
SCA
94,298
16,580
Svenska
Handelsbanken
AB
147,527
9,651
Swedbank
AB
177,399
1,962
Swedish
Orphan
Biovitrum
AB
a
40,089
262
Swedish
Orphan
Biovitrum
AB,
Rights
a,c
5,354
6,118
Tele2
AB
46,787
33,287
Telefonaktiebolaget
LM
Ericsson
162,166
26,819
Telia
Company
AB
55,320
2,276
Volvo
AB,
Class
A
47,265
17,154
Volvo
AB,
Class
B
353,332
6,774
Volvo
Car
AB
a
27,400
Total
4,820,905
Switzerland
(9.9%)
18,184
ABB,
Ltd.
649,045
1,819
Adecco
SA
74,712
5,680
Alcon,
Inc.
438,311
384
Bachem
Holding
AG
28,324
521
Baloise
Holding
AG
75,428
342
Banque
Cantonale
Vaudoise
35,788
41
Barry
Callebaut
AG
65,200
240
BKW
FMB
Energie
42,250
1
Chocoladefabriken
Lindt
and
Spruengli
AG
109,496
2,453
Clariant
AG
38,675
2,512
Coca-Cola
HBC
AG
68,688
5,934
Compagnie
Financiere
Richemont
SA
722,662
2,114
DSM-Firmenich
AG
178,639
1,096
Dufry
AG
a
41,610
80
EMS-CHEMIE
Holding
AG
54,212
380
Geberit
AG
189,498
105
Givaudan
SA
341,862
422
Helvetia
Holding
AG
58,949
5,925
Holcim
AG
379,253
2,342
Julius
Baer
Group,
Ltd.
149,906
618
Kuehne
&
Nagel
International
AG
175,593
11
Lindt
&
Spruengli
AG
122,238
1,866
Logitech
International
SA
128,378
847
Lonza
Group
AG
391,777
30,351
Nestle
SA
3,435,612
23,300
Novartis
AG
2,379,597
258
Partners
Group
Holding
AG
289,629
364
Roche
Holding
AG,
Bearer
Shares
106,939
7,986
Roche
Holding
AG,
Participation
Certificates
2,180,187
267
Schindler
Holding
AG
51,373
463
Schindler
Holding
AG,
Participation
Certificates
92,230
1,704
SGS
SA
143,009
3,476
SIG
Group
AG
85,633
1,664
Sika
AG
421,593
Shares
Common
Stock
(97.7%)
Value
Switzerland
(9.9%)
-
continued
591
Sonova
Holding
AG
$
139,876
1,269
Straumann
Holding
AG
161,517
329
Swatch
Group
AG,
Bearer
Shares
84,609
598
Swatch
Group
AG,
Registered
Shares
29,206
336
Swiss
Life
Holding
AG
209,052
872
Swiss
Prime
Site
AG
79,831
3,429
Swiss
Re
AG
352,160
294
Swisscom
AG
174,574
725
Temenos
AG
50,707
37,387
UBS
Group
AG
920,924
307
VAT
Group
AG
b
109,551
1,710
Zurich
Insurance
Group
AG
782,420
Total
16,840,723
United
Kingdom
(14.0%)
11,064
3i
Group
plc
278,490
21,860
ABRDN
plc
41,302
2,413
Admiral
Group
plc
69,735
14,445
Anglo
American
plc
396,656
4,483
Antofagasta
plc
77,824
4,981
Ashtead
Group
plc
302,063
3,953
Associated
British
Foods
plc
99,315
17,618
AstraZeneca
plc
2,376,410
10,442
Auto
Trader
Group
plc
b
78,462
31,127
Aviva
PLC
147,330
34,652
BAE
Systems
plc
421,088
176,829
Barclays
plc
340,827
11,078
Barratt
Developments
plc
59,396
1,210
Berkeley
Group
Holdings
plc
60,427
197,245
BP
plc
1,271,436
24,151
British
American
Tobacco
plc
758,314
73,405
BT
Group
plc
104,240
3,842
Bunzl
plc
136,829
4,287
Burberry
Group
plc
99,351
63,253
Centrica
plc
118,974
2,347
Coca-Cola
European
Partners
plc
146,641
19,706
Compass
Group
plc
479,678
1,587
Croda
International
plc
94,795
25,543
Diageo
plc
941,728
2,108
Endeavour
Mining
plc
40,693
46,550
GSK
plc
842,271
62,984
Haleon
plc
261,076
4,316
Halma
plc
101,689
4,044
Hargreaves
Lansdown
plc
38,034
1,884
Hikma
Pharmaceuticals
plc
47,841
224,707
HSBC
Holdings
plc
1,758,430
9,814
Imperial
Brands
plc
199,092
15,910
Informa
plc
145,283
1,913
InterContinental
Hotels
Group
plc
141,476
1,835
Intertek
Group
plc
91,767
18,955
J
Sainsbury
plc
58,373
29,459
JD
Sports
Fashion
plc
53,513
2,085
Johnson
Matthey
plc
41,278
21,654
Kingfisher
plc
58,783
8,008
Land
Securities
Group
plc
57,402
67,952
Legal
&
General
Group
plc
183,359
732,079
Lloyds
TSB
Group
plc
393,418
4,826
London
Stock
Exchange
Group
plc
483,693
25,495
M&G
plc
61,084
15,363
Melrose
Industries
plc
87,576
5,519
Mondi
plc
92,068
41,855
National
Grid
plc
500,562
66,070
NatWest
Group
plc
188,998
1,369
Next
plc
121,420
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
165
Shares
Common
Stock
(97.7%)
Value
United
Kingdom
(14.0%)
-
continued
6,583
Ocado
Group
plc
a
$
47,865
7,327
Pearson
plc
77,306
3,631
Persimmon
plc
47,554
8,535
Phoenix
Group
Holdings
plc
50,020
31,297
Prudential
plc
336,424
8,156
Reckitt
Benckiser
Group
plc
575,171
21,526
RELX
plc
726,290
28,646
Rentokil
Initial
plc
212,687
12,798
Rio
Tinto
plc
803,623
95,676
Rolls-Royce
Holdings
plc
a
256,354
11,652
Sage
Group
plc
140,220
9,163
Schroders
plc
45,277
13,225
SEGRO
plc
115,640
2,868
Severn
Trent
plc
82,758
76,211
Shell
plc
2,415,463
9,928
Smith
&
Nephew
plc
123,213
3,976
Smiths
Group
plc
78,280
839
Spirax-Sarco
Engineering
plc
97,118
12,394
SSE
plc
242,878
6,236
St.
James's
Place
plc
62,915
26,962
Standard
Chartered
plc
247,986
40,152
Taylor
Wimpey
plc
57,264
81,487
Tesco
plc
262,103
28,589
Unilever
plc
1,414,215
7,751
United
Utilities
Group
plc
89,563
261,394
Vodafone
Group
plc
245,032
2,250
Whitbread
plc
94,710
6,989
Wise
plc
a
58,284
Total
23,956,703
Total
Common
Stock
(cost
$144,670,506)
166,549,231
Shares
Preferred
Stock
(
0
.3
%
)
Germany
(0.3%)
657
Bayerische
Motoren
Werke
AG
61,154
1,920
Henkel
AG
&
Company
KGaA
136,722
2,344
Volkswagen
AG
269,324
Total
467,200
Total
Preferred
Stock
(cost
$543,225)
467,200
Shares
Collateral
Held
for
Securities
Loaned
(
<0.1%
)
53,850
Thrivent
Cash
Management
Trust
53,850
Total
Collateral
Held
for
Securities
Loaned
(cost
$53,850)
53,850
Shares
or
Principal
Amount
Short-Term
Investments
(
1
.5
%
)
Federal
Home
Loan
Bank
Discount
Notes
300,000
5.284%,
 11/15/2023
e,f
298,124
Shares
or
Principal
Amount
Short-Term
Investments
(1.5%)
Value
Thrivent
Core
Short-Term
Reserve
Fund
220,530
5.650%
$
2,205,300
Total
Short-Term
Investments
(cost
$2,503,274)
2,503,424
Total
Investments
(cost
$147,770,855)
99.5%
$
169,573,705
Other
Assets
and
Liabilities,
Net
0.5%
922,414
Total
Net
Assets
100.0%
$
170,496,119
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$2,182,818
or
1.3%
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
All
or
a
portion
of
the
security
is
on
loan.
e
The
interest
rate
shown
reflects
the
yield.
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
International
Index
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
51,189
Total
lending
$51,189
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$53,850
Net
amounts
due
to
counterparty
$2,661
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
166
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
September
29,
2023,
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
6,922,614
182,305
6,740,309
Consumer
Discretionary
19,807,884
39,740
19,768,144
Consumer
Staples
16,206,786
146,641
16,060,145
Energy
7,975,069
7,975,069
Financials
31,868,486
36,478
31,832,008
Health
Care
22,373,636
129,907
22,238,375
5,354
Industrials
26,557,627
199,980
26,357,647
Information
Technology
12,928,604
315,569
12,613,035
Materials
12,430,367
12,001,525
428,842
Real
Estate
3,874,657
3,874,657
Utilities
5,603,501
5,603,501
Preferred
Stock
Consumer
Discretionary
330,478
330,478
Consumer
Staples
136,722
136,722
Short-Term
Investments
298,124
298,124
Subtotal
Investments
in
Securities
$
167,314,555
$
1,050,620
$
165,829,739
$
434,196
Other
Investments  *
Total
Affiliated
Short-Term
Investments
2,205,300
Collateral
Held
for
Securities
Loaned
53,850
Subtotal
Other
Investments
$
2,259,150
Total
Investments
at
Value
$
169,573,705
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
International
Index
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
66,259
66,259
Total
Liability
Derivatives
$
66,259
$
66,259
$
$
The
following
table
presents
International
Index
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$298,124
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
28
December
2023
$
2,924,359
(
$
66,259
)
Total
Futures
Long
Contracts
$
2,924,359
(
$
66,259
)
Total
Futures
Contracts
$
2,924,359
(
$
66,259
)
International
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
167
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
Index
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
2,215
$
13,271
$
13,281
$
2,205
221
1.3%
Total
Affiliated
Short-Term
Investments
2,215
2,205
1.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
15
2,089
2,050
54
54
<0.1
Total
Collateral
Held
for
Securities
Loaned
15
54
<0.1
Total
Value
$
2,230
$
2,259
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$
183
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
183
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
6
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
6
Total
Value
$–
$–
$
Large
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
168
Shares
Common
Stock
(
98
.0
%
)
Value
Communications
Services
(11.6%)
1,166,353
Alphabet,
Inc.,
Class
C
a
$
153,783,643
248,145
Meta
Platforms,
Inc.
a
74,495,610
71,093
Netflix,
Inc.
a
26,844,717
Total
255,123,970
Consumer
Discretionary
(14.8%)
1,194,235
Amazon.com,
Inc.
a
151,811,153
69,307
Domino's
Pizza,
Inc.
26,252,799
174,833
Home
Depot,
Inc.
52,827,539
33,929
O'Reilly
Automotive,
Inc.
a
30,836,711
251,175
Tesla,
Inc.
a
62,849,009
Total
324,577,211
Consumer
Staples
(3.3%)
281,842
BJ's
Wholesale
Club
Holdings,
Inc.
a
20,115,064
427,650
US
Foods
Holding
Corporation
a
16,977,705
217,850
Walmart,
Inc.
34,840,750
Total
71,933,519
Energy
(2.3%)
629,948
Halliburton
Company
25,512,894
114,785
Pioneer
Natural
Resources
Company
26,348,897
Total
51,861,791
Financials
(11.1%)
162,930
American
Express
Company
24,307,527
71,285
Ameriprise
Financial,
Inc.
23,501,239
56,482
FactSet
Research
Systems,
Inc.
24,697,319
231,795
Intercontinental
Exchange,
Inc.
25,502,086
180,366
J.P.
Morgan
Chase
&
Company
26,156,677
168,478
Mastercard,
Inc.
66,702,125
562,597
PayPal
Holdings,
Inc.
a
32,889,420
213,855
Raymond
James
Financial,
Inc.
21,477,458
Total
245,233,851
Health
Care
(13.4%)
106,993
Amgen,
Inc.
28,755,439
165,645
Danaher
Corporation
41,096,524
104,657
Intuitive
Surgical,
Inc.
a
30,590,195
106,813
Laboratory
Corporation
of
America
Holdings
21,474,754
305,632
Medtronic
plc
23,949,323
82,319
Molina
Healthcare,
Inc.
a
26,991,577
292,612
Novo
Nordisk
AS
ADR
a
26,610,135
122,840
UnitedHealth
Group,
Inc.
61,934,700
191,875
Zoetis,
Inc.
33,382,412
Total
294,785,059
Industrials
(5.3%)
530,299
Fastenal
Company
28,975,537
63,027
Northrop
Grumman
Corporation
27,743,855
54,599
Parker-Hannifin
Corporation
21,267,403
832,378
Uber
Technologies,
Inc.
a
38,281,064
Total
116,267,859
Information
Technology
(33.8%)
81,003
Adobe,
Inc.
a
41,303,430
401,421
Advanced
Micro
Devices,
Inc.
a
41,274,107
492,534
Apple,
Inc.
84,326,746
162,489
Applied
Materials,
Inc.
22,496,602
681,913
Cisco
Systems,
Inc.
36,659,643
289,242
Fortinet,
Inc.
a
16,972,721
Shares
Common
Stock
(98.0%)
Value
Information
Technology
(33.8%)
-
continued
685,958
Microsoft
Corporation
$
216,591,238
281,190
NVIDIA
Corporation
122,314,838
350,623
QUALCOMM,
Inc.
38,940,190
203,835
Salesforce,
Inc.
a
41,333,661
100,905
ServiceNow,
Inc.
a
56,401,859
63,218
Tyler
Technologies,
Inc.
a
24,410,999
Total
743,026,034
Materials
(1.2%)
164,648
Nucor
Corporation
25,742,715
Total
25,742,715
Real
Estate
(1.2%)
128,133
SBA
Communications
Corporation
25,648,383
Total
25,648,383
Total
Common
Stock
(cost
$1,455,386,788)
2,154,200,392
Shares
Short-Term
Investments
(
2
.0
%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
4,394,549
5.650%
43,945,487
Total
Short-Term
Investments
(cost
$43,945,487)
43,945,487
Total
Investments
(cost
$1,499,332,275)
100.0%
$
2,198,145,879
Other
Assets
and
Liabilities,
Net
(<0.1%)
(
185,459
)
Total
Net
Assets
100.0%
$
2,197,960,420
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.
plc
-
Public
Limited
Company
Large
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
169
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
255,123,970
255,123,970
Consumer
Discretionary
324,577,211
324,577,211
Consumer
Staples
71,933,519
71,933,519
Energy
51,861,791
51,861,791
Financials
245,233,851
245,233,851
Health
Care
294,785,059
294,785,059
Industrials
116,267,859
116,267,859
Information
Technology
743,026,034
743,026,034
Materials
25,742,715
25,742,715
Real
Estate
25,648,383
25,648,383
Subtotal
Investments
in
Securities
$
2,154,200,392
$
2,154,200,392
$
$
Other
Investments  *
Total
Affiliated
Short-Term
Investments
43,945,487
Subtotal
Other
Investments
$
43,945,487
Total
Investments
at
Value
$
2,198,145,879
*
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
the
table
above
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
Large
Cap
Growth
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
52,095
$
155,976
$
164,126
$
43,945
4,395
2.0%
Total
Affiliated
Short-Term
Investments
52,095
43,945
2.0
Total
Value
$
52,095
$
43,945
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$
1,881
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
1,881
Total
Value
$–
$–
$
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
170
Shares
Common
Stock
(
99
.3
%
)
Value
Communications
Services
(8.8%)
30,071
Activision
Blizzard,
Inc.
$
2,815,548
249,389
Alphabet,
Inc.,
Class
A
a
32,635,044
212,141
Alphabet,
Inc.,
Class
C
a
27,970,791
300,502
AT&T,
Inc.
4,513,540
4,278
Charter
Communications,
Inc.
a
1,881,550
172,999
Comcast
Corporation
7,670,776
10,363
Electronic
Arts,
Inc.
1,247,705
10,663
Fox
Corporation,
Class
A
332,686
5,545
Fox
Corporation,
Class
B
160,140
16,180
Interpublic
Group
of
Companies,
Inc.
463,719
5,960
Live
Nation
Entertainment,
Inc.
a
494,918
11,689
Match
Group,
Inc.
a
457,917
93,424
Meta
Platforms,
Inc.
a
28,046,819
18,627
Netflix,
Inc.
a
7,033,555
16,013
News
Corporation,
Class
A
321,221
4,855
News
Corporation,
Class
B
101,324
8,305
Omnicom
Group,
Inc.
618,556
20,270
Paramount
Global
b
261,483
6,639
Take-Two
Interactive
Software,
Inc.
a
932,049
21,759
T-Mobile
US,
Inc.
a
3,047,348
176,713
Verizon
Communications,
Inc.
5,727,268
76,913
Walt
Disney
Company
a
6,233,799
93,233
Warner
Brothers
Discovery,
Inc.
a
1,012,510
Total
133,980,266
Consumer
Discretionary
(10.6%)
17,922
Airbnb,
Inc.
a
2,459,078
381,654
Amazon.com,
Inc.
a
48,515,856
11,888
Aptiv
plc
a
1,172,038
763
AutoZone,
Inc.
a
1,938,012
9,622
Bath
&
Body
Works,
Inc.
325,224
8,163
Best
Buy
Company,
Inc.
567,084
1,500
Booking
Holdings,
Inc.
a
4,625,925
9,881
BorgWarner,
Inc.
398,896
9,050
Caesars
Entertainment,
Inc.
a
419,467
6,650
CarMax,
Inc.
a
470,355
42,343
Carnival
Corporation
a
580,946
1,160
Chipotle
Mexican
Grill,
Inc.
a
2,124,923
12,798
D.R.
Horton,
Inc.
1,375,401
5,081
Darden
Restaurants,
Inc.
727,701
1,475
Domino's
Pizza,
Inc.
558,715
22,369
eBay,
Inc.
986,249
5,171
Etsy,
Inc.
a
333,943
5,794
Expedia
Group,
Inc.
a
597,188
165,252
Ford
Motor
Company
2,052,430
6,438
Garmin,
Ltd.
677,278
57,835
General
Motors
Company
1,906,820
5,903
Genuine
Parts
Company
852,275
5,482
Hasbro,
Inc.
362,579
10,993
Hilton
Worldwide
Holdings,
Inc.
1,650,929
42,260
Home
Depot,
Inc.
12,769,282
13,817
Las
Vegas
Sands
Corporation
633,371
10,615
Lennar
Corporation
1,191,321
11,246
LKQ
Corporation
556,789
24,631
Lowe's
Companies,
Inc.
5,119,307
10,530
Marriott
International,
Inc./MD
2,069,777
30,633
McDonald's
Corporation
8,069,958
11,799
MGM
Resorts
International
433,731
2,222
Mohawk
Industries,
Inc.
a
190,670
51,495
NIKE,
Inc.
4,923,952
17,882
Norwegian
Cruise
Line
Holdings,
Ltd.
a
294,695
137
NVR,
Inc.
a
816,972
Shares
Common
Stock
(99.3%)
Value
Consumer
Discretionary
(10.6%)
-
continued
2,539
O'Reilly
Automotive,
Inc.
a
$
2,307,596
1,642
Pool
Corporation
584,716
9,224
PulteGroup,
Inc.
683,037
1,698
Ralph
Lauren
Corporation
197,121
14,319
Ross
Stores,
Inc.
1,617,331
9,907
Royal
Caribbean
Cruises,
Ltd.
a
912,831
48,146
Starbucks
Corporation
4,394,285
9,743
Tapestry,
Inc.
280,111
116,072
Tesla,
Inc.
a
29,043,536
48,307
TJX
Companies,
Inc.
4,293,526
4,574
Tractor
Supply
Company
928,751
2,093
Ulta
Beauty,
Inc.
a
836,049
13,894
VF
Corporation
245,507
2,304
Whirlpool
Corporation
308,045
4,071
Wynn
Resorts,
Ltd.
376,201
11,778
Yum!
Brands,
Inc.
1,471,543
Total
161,229,323
Consumer
Staples
(6.5%)
74,594
Altria
Group,
Inc.
3,136,678
22,535
Archer-Daniels-Midland
Company
1,699,590
7,691
Brown-Forman
Corporation
443,694
6,332
Bunge,
Ltd.
685,439
8,270
Campbell
Soup
Company
339,732
10,342
Church
&
Dwight
Company,
Inc.
947,637
5,205
Clorox
Company
682,167
163,593
Coca-Cola
Company
9,157,936
34,749
Colgate-Palmolive
Company
2,471,001
20,087
Conagra
Brands,
Inc.
550,786
6,780
Constellation
Brands,
Inc.
1,704,017
18,627
Costco
Wholesale
Corporation
10,523,510
9,220
Dollar
General
Corporation
975,476
8,801
Dollar
Tree,
Inc.
a
936,866
9,747
Estee
Lauder
Companies,
Inc.
1,408,929
24,598
General
Mills,
Inc.
1,574,026
6,299
Hershey
Company
1,260,304
12,170
Hormel
Foods
Corporation
462,825
4,292
J.M.
Smucker
Company
527,530
11,081
Kellanova
659,430
72,442
Kenvue,
Inc.
1,454,635
42,287
Keurig
Dr.
Pepper,
Inc.
1,335,001
14,215
Kimberly-Clark
Corporation
1,717,883
33,560
Kraft
Heinz
Company
1,128,958
27,756
Kroger
Company
1,242,081
6,128
Lamb
Weston
Holdings,
Inc.
566,595
10,555
McCormick
&
Company,
Inc.
798,380
7,802
Molson
Coors
Beverage
Company
496,129
57,184
Mondelez
International,
Inc.
3,968,570
31,262
Monster
Beverage
Corporation
a
1,655,323
57,863
PepsiCo,
Inc.
9,804,307
65,252
Philip
Morris
International,
Inc.
6,041,030
99,087
Procter
&
Gamble
Company
14,452,830
21,232
Sysco
Corporation
1,402,374
19,401
Target
Corporation
2,145,169
12,003
Tyson
Foods,
Inc.
606,031
30,118
Walgreens
Boots
Alliance,
Inc.
669,824
59,991
Walmart,
Inc.
9,594,361
Total
99,227,054
Energy
(4.7%)
12,916
APA
Corporation
530,848
42,440
Baker
Hughes
Company
1,498,981
74,580
Chevron
Corporation
12,575,680
50,336
ConocoPhillips
6,030,253
31,839
Coterra
Energy,
Inc.
861,245
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
171
Shares
Common
Stock
(99.3%)
Value
Energy
(4.7%)
-
continued
26,931
Devon
Energy
Corporation
$
1,284,609
7,516
Diamondback
Energy,
Inc.
1,164,078
24,475
EOG
Resources,
Inc.
3,102,451
15,202
EQT
Corporation
616,897
168,271
Exxon
Mobil
Corporation
19,785,304
37,770
Halliburton
Company
1,529,685
11,616
Hess
Corporation
1,777,248
81,483
Kinder
Morgan,
Inc.
1,350,988
25,460
Marathon
Oil
Corporation
681,055
16,807
Marathon
Petroleum
Corporation
2,543,571
27,890
Occidental
Petroleum
Corporation
1,809,503
24,484
ONEOK,
Inc.
1,553,020
18,717
Phillips
66
2,248,848
9,800
Pioneer
Natural
Resources
Company
2,249,590
59,738
Schlumberger,
Ltd.
3,482,725
9,404
Targa
Resources
Corporation
806,111
14,844
Valero
Energy
Corporation
2,103,543
51,131
Williams
Companies,
Inc.
1,722,603
Total
71,308,836
Financials
(12.7%)
22,724
Aflac,
Inc.
1,744,067
10,995
Allstate
Corporation
1,224,953
24,456
American
Express
Company
3,648,591
29,924
American
International
Group,
Inc.
1,813,394
4,314
Ameriprise
Financial,
Inc.
1,422,240
8,527
Aon
plc
2,764,624
15,677
Arch
Capital
Group,
Ltd.
a
1,249,614
9,059
Arthur
J.
Gallagher
&
Company
2,064,818
2,229
Assurant,
Inc.
320,040
290,597
Bank
of
America
Corporation
7,956,546
32,735
Bank
of
New
York
Mellon
Corporation
1,396,148
76,657
Berkshire
Hathaway,
Inc.
a
26,852,947
5,899
BlackRock,
Inc.
3,813,644
29,834
Blackstone,
Inc.
3,196,415
9,895
Brown
&
Brown,
Inc.
691,067
16,034
Capital
One
Financial
Corporation
1,556,100
4,435
Cboe
Global
Markets,
Inc.
692,791
62,504
Charles
Schwab
Corporation
3,431,470
17,265
Chubb,
Ltd.
3,594,228
6,593
Cincinnati
Financial
Corporation
674,398
80,945
Citigroup,
Inc.
3,329,268
19,852
Citizens
Financial
Group,
Inc.
532,034
15,122
CME
Group,
Inc.
3,027,727
5,539
Comerica,
Inc.
230,145
10,506
Discover
Financial
Services
910,135
1,824
Everest
Group,
Ltd.
677,926
1,603
FactSet
Research
Systems,
Inc.
700,928
24,904
Fidelity
National
Information
Services,
Inc.
1,376,444
28,621
Fifth
Third
Bancorp
724,970
25,625
Fiserv,
Inc.
a
2,894,600
3,109
FleetCor
Technologies,
Inc.
a
793,852
11,955
Franklin
Resources,
Inc.
293,854
3,655
Global
Life,
Inc.
397,408
10,929
Global
Payments,
Inc.
1,261,097
13,857
Goldman
Sachs
Group,
Inc.
4,483,709
12,855
Hartford
Financial
Services
Group,
Inc.
911,548
60,860
Huntington
Bancshares,
Inc.
632,944
24,058
Intercontinental
Exchange,
Inc.
2,646,861
18,857
Invesco,
Ltd.
273,804
122,155
J.P.
Morgan
Chase
&
Company
17,714,918
Shares
Common
Stock
(99.3%)
Value
Financials
(12.7%)
-
continued
3,063
Jack
Henry
&
Associates,
Inc.
$
462,942
39,341
KeyCorp
423,309
7,773
Loews
Corporation
492,109
6,973
M&T
Bank
Corporation
881,736
1,584
MarketAxess
Holdings,
Inc.
338,406
20,763
Marsh
&
McLennan
Companies,
Inc.
3,951,199
34,973
Mastercard,
Inc.
13,846,160
26,553
MetLife,
Inc.
1,670,449
6,633
Moody's
Corporation
2,097,156
53,630
Morgan
Stanley
4,379,962
3,324
MSCI,
Inc.
1,705,478
14,250
Nasdaq,
Inc.
692,407
8,701
Northern
Trust
Corporation
604,545
46,155
PayPal
Holdings,
Inc.
a
2,698,221
16,740
PNC
Financial
Services
Group,
Inc.
2,055,170
9,347
Principal
Financial
Group,
Inc.
673,638
24,604
Progressive
Corporation
3,427,337
15,258
Prudential
Financial,
Inc.
1,447,832
7,901
Raymond
James
Financial,
Inc.
793,497
39,444
Regions
Financial
Corporation
678,437
13,678
S&P
Global,
Inc.
4,998,078
13,394
State
Street
Corporation
896,862
17,578
Synchrony
Financial
537,359
9,428
T.
Rowe
Price
Group,
Inc.
988,714
9,623
Travelers
Companies,
Inc.
1,571,532
55,988
Truist
Financial
Corporation
1,601,817
65,446
U.S.
Bancorp
2,163,645
67,540
Visa,
Inc.
15,534,875
8,552
W.R.
Berkley
Corporation
542,966
153,794
Wells
Fargo
&
Company
6,284,023
4,406
Willis
Towers
Watson
plc
920,678
6,227
Zions
Bancorp
NA
217,260
Total
193,500,066
Health
Care
(13.3%)
72,944
Abbott
Laboratories
7,064,626
74,192
AbbVie,
Inc.
11,059,060
12,416
Agilent
Technologies,
Inc.
1,388,357
2,992
Align
Technology,
Inc.
a
913,517
22,484
Amgen,
Inc.
6,042,800
21,286
Baxter
International,
Inc.
803,334
12,194
Becton,
Dickinson
and
Company
3,152,515
6,088
Biogen,
Inc.
a
1,564,677
878
Bio-Rad
Laboratories,
Inc.
a
314,719
6,618
Bio-Techne
Corporation
450,487
61,547
Boston
Scientific
Corporation
a
3,249,682
87,814
Bristol-Myers
Squibb
Company
5,096,725
10,702
Cardinal
Health,
Inc.
929,148
7,578
Catalent,
Inc.
a
345,026
7,007
Cencora,
Inc.
1,261,050
22,761
Centene
Corporation
a
1,567,778
2,155
Charles
River
Laboratories
International,
Inc.
a
422,337
12,441
Cigna
Group
3,558,997
2,081
Cooper
Companies,
Inc.
661,779
53,989
CVS
Health
Corporation
3,769,512
27,622
Danaher
Corporation
6,853,018
2,264
DaVita,
Inc.
a
214,016
8,899
Dentsply
Sirona,
Inc.
303,990
16,304
Dexcom,
Inc.
a
1,521,163
25,553
Edwards
Lifesciences
Corporation
a
1,770,312
9,905
Elevance
Health,
Inc.
4,312,835
33,518
Eli
Lilly
&
Company
18,003,523
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
172
Shares
Common
Stock
(99.3%)
Value
Health
Care
(13.3%)
-
continued
16,442
GE
HealthCare
Technologies,
Inc.
$
1,118,714
52,375
Gilead
Sciences,
Inc.
3,924,982
8,460
HCA
Healthcare,
Inc.
2,080,991
5,489
Henry
Schein,
Inc.
a
407,558
10,296
Hologic,
Inc.
a
714,542
5,208
Humana,
Inc.
2,533,796
3,489
IDEXX
Laboratories,
Inc.
a
1,525,635
6,654
Illumina,
Inc.
a
913,461
7,818
Incyte
Corporation
a
451,646
2,935
Insulet
Corporation
a
468,103
14,769
Intuitive
Surgical,
Inc.
a
4,316,831
7,697
IQVIA
Holding,
Inc.
a
1,514,385
101,219
Johnson
&
Johnson
15,764,859
3,724
Laboratory
Corporation
of
America
Holdings
748,710
5,670
McKesson
Corporation
2,465,600
55,954
Medtronic
plc
4,384,555
106,663
Merck
&
Company,
Inc.
10,980,956
919
Mettler-Toledo
International,
Inc.
a
1,018,316
13,918
Moderna,
Inc.
a
1,437,590
2,451
Molina
Healthcare,
Inc.
a
803,658
10,743
Organon
&
Company
186,498
237,323
Pfizer,
Inc.
7,872,004
4,718
Quest
Diagnostics,
Inc.
574,935
4,487
Regeneron
Pharmaceuticals,
Inc.
a
3,692,622
6,176
ResMed,
Inc.
913,245
5,218
Revvity,
Inc.
577,633
4,147
STERIS
plc
909,935
14,208
Stryker
Corporation
3,882,620
1,975
Teleflex,
Inc.
387,910
16,223
Thermo
Fisher
Scientific,
Inc.
8,211,596
38,936
UnitedHealth
Group,
Inc.
19,631,142
2,612
Universal
Health
Services,
Inc.
328,407
10,849
Vertex
Pharmaceuticals,
Inc.
a
3,772,631
50,421
Viatris,
Inc.
497,151
2,484
Waters
Corporation
a
681,138
3,105
West
Pharmaceutical
Services,
Inc.
1,165,027
8,784
Zimmer
Biomet
Holdings,
Inc.
985,740
19,349
Zoetis,
Inc.
3,366,339
Total
201,806,444
Industrials
(8.2%)
23,203
3M
Company
2,172,265
5,237
A.O.
Smith
Corporation
346,323
5,348
Alaska
Air
Group,
Inc.
a
198,304
3,690
Allegion
plc
384,498
27,464
American
Airlines
Group,
Inc.
a
351,814
9,698
AMETEK,
Inc.
1,432,976
17,318
Automatic
Data
Processing,
Inc.
4,166,364
2,954
Axon
Enterprise,
Inc.
a
587,816
23,834
Boeing
Company
a
4,568,501
4,965
Broadridge
Financial
Solutions,
Inc.
888,983
4,894
C.H.
Robinson
Worldwide,
Inc.
421,520
35,209
Carrier
Global
Corporation
1,943,537
21,443
Caterpillar,
Inc.
5,853,939
6,541
Ceridian
HCM
Holding,
Inc.
a
443,807
3,635
Cintas
Corporation
1,748,471
36,525
Copart,
Inc.
a
1,573,862
84,334
CSX
Corporation
2,593,270
5,954
Cummins,
Inc.
1,360,251
11,461
Deere
&
Company
4,325,152
27,046
Delta
Air
Lines,
Inc.
1,000,702
5,879
Dover
Corporation
820,179
Shares
Common
Stock
(99.3%)
Value
Industrials
(8.2%)
-
continued
16,772
Eaton
Corporation
plc
$
3,577,132
24,023
Emerson
Electric
Company
2,319,901
5,158
Equifax,
Inc.
944,842
6,217
Expeditors
International
of
Washington,
Inc.
712,655
24,015
Fastenal
Company
1,312,180
9,726
FedEx
Corporation
2,576,612
14,797
Fortive
Corporation
1,097,346
2,616
Generac
Holdings,
Inc.
a
285,039
9,526
General
Dynamics
Corporation
2,104,960
45,749
General
Electric
Company
5,057,552
27,909
Honeywell
International,
Inc.
5,155,909
16,460
Howmet
Aerospace,
Inc.
761,275
1,676
Huntington
Ingalls
Industries,
Inc.
342,876
3,178
IDEX
Corporation
661,088
11,567
Illinois
Tool
Works,
Inc.
2,663,996
16,999
Ingersoll
Rand,
Inc.
1,083,176
5,293
Jacobs
Solutions,
Inc.
722,494
3,432
JB
Hunt
Transport
Services,
Inc.
647,001
28,597
Johnson
Controls
International
plc
1,521,646
7,950
L3Harris
Technologies,
Inc.
1,384,254
5,773
Leidos
Holdings,
Inc.
532,040
9,421
Lockheed
Martin
Corporation
3,852,812
9,455
Masco
Corporation
505,370
2,276
Nordson
Corporation
507,935
9,542
Norfolk
Southern
Corporation
1,879,106
5,978
Northrop
Grumman
Corporation
2,631,456
3,766
Old
Dominion
Freight
Line,
Inc.
1,540,821
17,307
Otis
Worldwide
Corporation
1,389,925
21,976
PACCAR,
Inc.
1,868,400
5,393
Parker-Hannifin
Corporation
2,100,681
13,488
Paychex,
Inc.
1,555,571
2,070
Paycom
Software,
Inc.
536,689
6,940
Pentair
plc
449,365
6,103
Quanta
Services,
Inc.
1,141,688
8,643
Republic
Services,
Inc.
1,231,714
4,501
Robert
Half,
Inc.
329,833
4,828
Rockwell
Automation,
Inc.
1,380,180
11,802
Rollins,
Inc.
440,569
61,181
RTX
Corporation
4,403,197
2,224
Snap-On,
Inc.
567,253
25,037
Southwest
Airlines
Company
677,752
6,441
Stanley
Black
&
Decker,
Inc.
538,339
8,326
Textron,
Inc.
650,594
9,601
Trane
Technologies
plc
1,948,139
2,320
TransDigm
Group,
Inc.
a
1,956,062
25,618
Union
Pacific
Corporation
5,216,593
13,786
United
Airlines
Holdings,
Inc.
a
583,148
30,402
United
Parcel
Service,
Inc.
4,738,760
2,870
United
Rentals,
Inc.
1,275,916
6,096
Verisk
Analytics,
Inc.
1,440,119
1,871
W.W.
Grainger,
Inc.
1,294,433
7,530
Wabtec
Corporation
800,213
15,494
Waste
Management,
Inc.
2,361,905
10,123
Xylem,
Inc.
921,497
Total
125,362,543
Information
Technology
(27.3%)
26,515
Accenture
plc
8,143,022
19,159
Adobe,
Inc.
a
9,769,174
67,913
Advanced
Micro
Devices,
Inc.
a
6,982,815
6,389
Akamai
Technologies,
Inc.
a
680,684
25,071
Amphenol
Corporation
2,105,713
21,077
Analog
Devices,
Inc.
3,690,372
3,648
ANSYS,
Inc.
a
1,085,462
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
173
Shares
Common
Stock
(99.3%)
Value
Information
Technology
(27.3%)
-
continued
617,741
Apple,
Inc.
$
105,763,437
35,298
Applied
Materials,
Inc.
4,887,008
10,541
Arista
Networks,
Inc.
a
1,938,806
8,984
Autodesk,
Inc.
a
1,858,879
17,347
Broadcom,
Inc.
14,408,071
11,424
Cadence
Design
Systems,
Inc.
a
2,676,643
5,635
CDW
Corporation
1,136,918
171,292
Cisco
Systems,
Inc.
9,208,658
21,229
Cognizant
Technology
Solutions
Corporation
1,438,052
32,269
Corning,
Inc.
983,236
8,624
DXC
Technology
Company
a
179,638
5,732
Enphase
Energy,
Inc.
a
688,700
2,436
EPAM
Systems,
Inc.
a
622,861
2,493
F5,
Inc.
a
401,722
1,045
Fair
Isaac
Corporation
a
907,614
4,491
First
Solar,
Inc.
a
725,701
27,399
Fortinet,
Inc.
a
1,607,773
3,313
Gartner,
Inc.
a
1,138,380
24,459
Gen
Digital,
Inc.
432,435
54,288
Hewlett
Packard
Enterprise
Company
942,983
36,471
HP,
Inc.
937,305
176,039
Intel
Corporation
6,258,186
38,293
International
Business
Machines
Corporation
5,372,508
11,772
Intuit,
Inc.
6,014,786
13,508
Juniper
Networks,
Inc.
375,387
7,498
Keysight
Technologies,
Inc.
a
992,060
5,747
KLA
Corporation
2,635,919
5,603
Lam
Research
Corporation
3,511,792
22,881
Microchip
Technology,
Inc.
1,785,862
46,040
Micron
Technology,
Inc.
3,132,101
312,304
Microsoft
Corporation
98,609,988
2,008
Monolithic
Power
Systems,
Inc.
927,696
7,021
Motorola
Solutions,
Inc.
1,911,397
8,861
NetApp,
Inc.
672,373
103,824
NVIDIA
Corporation
45,162,402
10,836
NXP
Semiconductors
NV
2,166,333
18,139
ON
Semiconductor
Corporation
a
1,686,020
66,173
Oracle
Corporation
7,009,044
12,856
Palo
Alto
Networks,
Inc.
a
3,013,961
4,995
PTC,
Inc.
a
707,692
4,116
Qorvo,
Inc.
a
392,954
46,910
QUALCOMM,
Inc.
5,209,825
4,486
Roper
Industries,
Inc.
2,172,480
40,941
Salesforce,
Inc.
a
8,302,016
8,107
Seagate
Technology
Holdings
plc
534,657
8,575
ServiceNow,
Inc.
a
4,793,082
6,700
Skyworks
Solutions,
Inc.
660,553
2,377
SolarEdge
Technologies,
Inc.
a
307,845
6,396
Synopsys,
Inc.
a
2,935,572
13,196
TE
Connectivity,
Ltd.
1,630,102
1,979
Teledyne
Technologies,
Inc.
a
808,580
6,474
Teradyne,
Inc.
650,378
38,166
Texas
Instruments,
Inc.
6,068,776
10,438
Trimble,
Inc.
a
562,191
1,769
Tyler
Technologies,
Inc.
a
683,082
3,772
VeriSign,
Inc.
a
763,943
13,448
Western
Digital
Corporation
a
613,632
2,158
Zebra
Technologies
Corporation
a
510,432
Total
414,887,669
Materials
(2.4%)
9,338
Air
Products
and
Chemicals,
Inc.
2,646,389
Shares
Common
Stock
(99.3%)
Value
Materials
(2.4%)
-
continued
4,933
Albemarle
Corporation
$
838,807
61,851
Amcor
plc
566,555
3,387
Avery
Dennison
Corporation
618,703
13,243
Ball
Corporation
659,237
4,207
Celanese
Corporation
528,063
8,110
CF
Industries
Holdings,
Inc.
695,351
29,834
Corteva,
Inc.
1,526,307
29,553
Dow,
Inc.
1,523,753
19,296
DuPont
de
Nemours,
Inc.
1,439,289
4,983
Eastman
Chemical
Company
382,296
10,663
Ecolab,
Inc.
1,806,312
5,243
FMC
Corporation
351,124
60,262
Freeport-McMoRan,
Inc.
2,247,170
10,729
International
Flavors
&
Fragrances,
Inc.
731,396
14,544
International
Paper
Company
515,876
20,510
Linde
plc
7,636,898
10,766
LyondellBasell
Industries
NV
1,019,540
2,598
Martin
Marietta
Materials,
Inc.
1,066,427
13,967
Mosaic
Company
497,225
33,406
Newmont
Corporation
1,234,352
10,455
Nucor
Corporation
1,634,639
3,780
Packaging
Corporation
of
America
580,419
9,900
PPG
Industries,
Inc.
1,285,020
6,069
Sealed
Air
Corporation
199,427
9,944
Sherwin-Williams
Company
2,536,217
6,545
Steel
Dynamics,
Inc.
701,755
5,585
Vulcan
Materials
Company
1,128,282
10,772
WestRock
Company
385,638
Total
36,982,467
Real
Estate
(2.4%)
6,546
Alexandria
Real
Estate
Equities,
Inc.
655,255
19,594
American
Tower
Corporation
3,222,233
5,970
AvalonBay
Communities,
Inc.
1,025,288
6,066
Boston
Properties,
Inc.
360,806
4,488
Camden
Property
Trust
424,475
13,024
CBRE
Group,
Inc.
a
961,953
17,164
CoStar
Group,
Inc.
a
1,319,740
18,229
Crown
Castle,
Inc.
1,677,615
12,724
Digital
Realty
Trust,
Inc.
1,539,858
3,933
Equinix,
Inc.
2,856,380
14,498
Equity
Residential
851,178
2,698
Essex
Property
Trust,
Inc.
572,219
8,881
Extra
Space
Storage,
Inc.
1,079,752
3,084
Federal
Realty
Investment
Trust
279,503
22,995
Healthpeak
Properties,
Inc.
422,188
29,912
Host
Hotels
&
Resorts,
Inc.
480,686
24,180
Invitation
Homes,
Inc.
766,264
12,268
Iron
Mountain,
Inc.
729,333
26,056
Kimco
Realty
Corporation
458,325
4,904
Mid-America
Apartment
Communities,
Inc.
630,900
38,834
Prologis,
Inc.
4,357,563
6,652
Public
Storage
1,752,935
29,793
Realty
Income
Corporation
1,487,862
6,907
Regency
Centers
Corporation
410,552
4,556
SBA
Communications
Corporation
911,974
13,753
Simon
Property
Group,
Inc.
1,485,737
12,741
UDR,
Inc.
454,471
16,914
Ventas,
Inc.
712,587
42,599
VICI
Properties,
Inc.
1,239,631
21,804
Welltower,
Inc.
1,786,184
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
174
Shares
Common
Stock
(99.3%)
Value
Real
Estate
(2.4%)
-
continued
30,716
Weyerhaeuser
Company
$
941,752
Total
35,855,199
Utilities
(2.4%)
28,147
AES
Corporation
427,834
10,623
Alliant
Energy
Corporation
514,684
11,044
Ameren
Corporation
826,423
21,655
American
Electric
Power
Company,
Inc.
1,628,889
8,183
American
Water
Works
Company,
Inc.
1,013,301
6,240
Atmos
Energy
Corporation
661,003
26,531
CenterPoint
Energy,
Inc.
712,357
12,262
CMS
Energy
Corporation
651,235
14,499
Consolidated
Edison,
Inc.
1,240,099
13,518
Constellation
Energy
Corporation
1,474,543
35,173
Dominion
Energy,
Inc.
1,571,178
8,666
DTE
Energy
Company
860,361
32,396
Duke
Energy
Corporation
2,859,271
16,111
Edison
International
1,019,665
8,888
Entergy
Corporation
822,140
9,655
Evergy,
Inc.
489,509
14,674
Eversource
Energy
853,293
41,833
Exelon
Corporation
1,580,869
21,691
FirstEnergy
Corporation
741,398
85,065
NextEra
Energy,
Inc.
4,873,374
17,371
NiSource,
Inc.
428,716
9,631
NRG
Energy,
Inc.
370,986
87,904
PG&E
Corporation
a
1,417,892
4,763
Pinnacle
West
Capital
Corporation
350,938
30,983
PPL
Corporation
729,960
20,980
Public
Service
Enterprise
Group,
Inc.
1,193,972
26,452
Sempra
1,799,530
45,840
Southern
Company
2,966,765
13,259
WEC
Energy
Group,
Inc.
1,068,012
23,183
Xcel
Energy,
Inc.
1,326,531
Total
36,474,728
Total
Common
Stock
(cost
$591,306,461)
1,510,614,595
Shares
Collateral
Held
for
Securities
Loaned
(
<0.1%
)
Value
251,520
Thrivent
Cash
Management
Trust
251,520
Total
Collateral
Held
for
Securities
Loaned
(cost
$251,520)
251,520
Shares
or
Principal
Amount
Short-Term
Investments
(
0
.7
%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
200,000
5.210%,
10/18/2023
c,d
199,545
700,000
5.270%,
11/15/2023
c,d
695,624
Shares
or
Principal
Amount
Short-Term
Investments
(0.7%)
Value
Thrivent
Core
Short-Term
Reserve
Fund
901,934
5.650%
$
9,019,335
Total
Short-Term
Investments
(cost
$9,914,101)
9,914,504
Total
Investments
(cost
$601,472,082)
100.0%
$
1,520,780,619
Other
Assets
and
Liabilities,
Net
<0.1%
44,628
Total
Net
Assets
100.0%
$
1,520,825,247
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
The
interest
rate
shown
reflects
the
yield.
d
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Large
Cap
Index
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
247,680
Total
lending
$247,680
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$251,520
Net
amounts
due
to
counterparty
$3,840
Definitions:
plc
-
Public
Limited
Company
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
175
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
September
29,
2023,
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
133,980,266
133,980,266
Consumer
Discretionary
161,229,323
161,229,323
Consumer
Staples
99,227,054
99,227,054
Energy
71,308,836
71,308,836
Financials
193,500,066
193,500,066
Health
Care
201,806,444
201,806,444
Industrials
125,362,543
125,362,543
Information
Technology
414,887,669
414,887,669
Materials
36,982,467
36,982,467
Real
Estate
35,855,199
35,855,199
Utilities
36,474,728
36,474,728
Short-Term
Investments
895,169
895,169
Subtotal
Investments
in
Securities
$
1,511,509,764
$
1,510,614,595
$
895,169
$
Other
Investments  *
Total
Affiliated
Short-Term
Investments
9,019,335
Collateral
Held
for
Securities
Loaned
251,520
Subtotal
Other
Investments
$
9,270,855
Total
Investments
at
Value
$
1,520,780,619
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Large
Cap
Index
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
442,817
442,817
Total
Liability
Derivatives
$
442,817
$
442,817
$
$
The
following
table
presents
Large
Cap
Index
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$895,169
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CME
E-mini
S&P
500
Index
50
December
2023
$
11,256,567
(
$
442,817
)
Total
Futures
Long
Contracts
$
11,256,567
(
$
442,817
)
Total
Futures
Contracts
$
11,256,567
(
$
442,817
)
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
176
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
13,657
$
44,374
$
49,012
$
9,019
902
0.6%
Total
Affiliated
Short-Term
Investments
13,657
9,019
0.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
329
7,597
7,674
252
252
<0.1
Total
Collateral
Held
for
Securities
Loaned
329
252
<0.1
Total
Value
$
13,986
$
9,271
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$
351
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
351
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
3
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
3
Total
Value
$–
$–
$
Large
Cap
Value
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
177
Shares
Common
Stock
(
98.9%
)
Value
Communications
Services
(7.9%)
457,829
Alphabet,
Inc.,
Class
C
a
$
60,364,754
930,295
Comcast
Corporation
41,249,280
133,789
Meta
Platforms,
Inc.
a
40,164,796
1,197,427
Verizon
Communications,
Inc.
38,808,609
1,576,492
Warner
Brothers
Discovery,
Inc.
a
17,120,703
Total
197,708,142
Consumer
Discretionary
(6.3%)
241,424
Aptiv
plc
a
23,801,992
11,192
Booking
Holdings,
Inc.
a
34,515,568
213,169
D.R.
Horton,
Inc.
22,909,272
232,564
Lowe's
Companies,
Inc.
48,336,102
340,436
Sony
Group
Corporation
ADR
28,055,331
Total
157,618,265
Consumer
Staples
(8.0%)
2,177,818
Coty,
Inc.
a
23,890,664
838,208
Kenvue
,
Inc.
16,831,217
281,995
Lamb
Weston
Holdings,
Inc.
26,073,258
555,673
Philip
Morris
International,
Inc.
51,444,206
422,801
Sysco
Corporation
27,926,006
325,381
Walmart,
Inc.
52,038,183
Total
198,203,534
Energy
(10.1%)
661,865
BP
plc
ADR
25,627,413
443,022
ConocoPhillips
53,074,036
368,282
Devon
Energy
Corporation
17,567,051
1,321,949
Enterprise
Products
Partners,
LP
36,181,744
436,915
Exxon
Mobil
Corporation
51,372,466
384,187
Halliburton
Company
15,559,573
185,015
Marathon
Petroleum
Corporation
28,000,170
101,270
Pioneer
Natural
Resources
Company
23,246,529
Total
250,628,982
Financials
(18.9%)
123,736
Allstate
Corporation
13,785,428
486,162
American
International
Group,
Inc.
29,461,417
1,505,557
Bank
of
America
Corporation
41,222,151
715,540
Bank
of
New
York
Mellon
Corporation
30,517,781
188,278
Capital
One
Financial
Corporation
18,272,380
330,021
Charles
Schwab
Corporation
18,118,153
139,965
Chubb,
Ltd.
29,137,914
459,274
Comerica,
Inc.
19,082,835
171,407
Discover
Financial
Services
14,848,988
223,534
Intercontinental
Exchange,
Inc.
24,593,211
391,173
J.P.
Morgan
Chase
&
Company
56,727,908
191,861
M&T
Bank
Corporation
24,260,823
404,853
MetLife,
Inc.
25,469,302
228,042
Morgan
Stanley
18,624,190
379,494
PayPal
Holdings,
Inc.
a
22,185,219
259,630
Raymond
James
Financial,
Inc.
26,074,641
1,427,789
Wells
Fargo
&
Company
58,339,459
Total
470,721,800
Health
Care
(14.7%)
222,083
AstraZeneca
plc
ADR
15,039,461
1,054,788
Avantor
,
Inc.
a
22,234,931
91,537
Biogen,
Inc.
a
23,525,924
129,989
Cigna
Group
37,185,953
237,071
CVS
Health
Corporation
16,552,297
88,029
Elevance
Health,
Inc.
38,329,587
Shares
Common
Stock
(98.9%)
Value
Health
Care
(14.7%)
-
continued
477,328
Gilead
Sciences,
Inc.
$
35,770,960
95,562
HCA
Healthcare,
Inc.
23,506,341
213,255
Johnson
&
Johnson
33,214,466
121,908
Laboratory
Corporation
of
America
Holdings
24,509,604
444,272
Merck
&
Company,
Inc.
45,737,802
769,585
Pfizer,
Inc.
25,527,135
207,148
Zimmer
Biomet
Holdings,
Inc.
23,246,149
Total
364,380,610
Industrials
(11.7%)
64,809
Carlisle
Companies,
Inc.
16,802,381
1,777,402
CNH
Industrial
NV
21,506,564
708,515
CSX
Corporation
21,786,836
696,931
Delta
Air
Lines,
Inc.
25,786,447
491,187
Flowserve
Corporation
19,534,507
153,011
General
Dynamics
Corporation
33,810,841
110,883
Honeywell
International,
Inc.
20,484,525
84,428
JB
Hunt
Transport
Services,
Inc.
15,916,367
273,277
Johnson
Controls
International
plc
14,541,069
145,475
L3Harris
Technologies,
Inc.
25,330,107
60,808
Parker-Hannifin
Corporation
23,685,932
240,887
United
Parcel
Service,
Inc.
37,547,057
29,265
United
Rentals,
Inc.
13,010,341
Total
289,742,974
Information
Technology
(10.0%)
1,351,830
Cisco
Systems,
Inc.
72,674,381
149,655
Crane
NXT
Company
8,316,328
160,748
Microsoft
Corporation
50,756,181
408,089
QUALCOMM,
Inc.
45,322,364
924,491
Samsung
Electronics
Company,
Ltd.
46,736,842
154,112
Texas
Instruments,
Inc.
24,505,349
Total
248,311,445
Materials
(4.2%)
888,456
Axalta
Coating
Systems,
Ltd.
a
23,899,467
381,472
CF
Industries
Holdings,
Inc.
32,707,409
257,585
Eastman
Chemical
Company
19,761,921
175,362
Nucor
Corporation
27,417,849
Total
103,786,646
Real
Estate
(2.8%)
66,369
AvalonBay
Communities,
Inc.
11,398,212
170,809
CBRE
Group,
Inc.
a
12,615,953
1,389,117
Healthcare
Realty
Trust,
Inc.
21,211,816
1,455,180
Host
Hotels
&
Resorts,
Inc.
23,384,743
Total
68,610,724
Utilities
(4.3%)
369,773
Constellation
Energy
Corporation
40,334,839
321,009
Duke
Energy
Corporation
28,332,254
200,555
Entergy
Corporation
18,551,338
353,452
Public
Service
Enterprise
Group,
Inc.
20,114,953
Total
107,333,384
Total
Common
Stock
(cost
$1,867,242,192)
2,457,046,506
Large
Cap
Value
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
178
Shares
Short-Term
Investments
(
1.6%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
3,874,672
5.650%
$
38,746,721
Total
Short-Term
Investments
(cost
$38,741,963)
38,746,721
Total
Investments
(cost
$1,905,984,155)
100.5%
$2,495,793,227
Other
Assets
and
Liabilities,
Net
(0.5%)
(11,712,164)
Total
Net
Assets
100.0%
$2,484,081,063
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.
plc
-
Public
Limited
Company
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
197,708,142
197,708,142
Consumer
Discretionary
157,618,265
157,618,265
Consumer
Staples
198,203,534
198,203,534
Energy
250,628,982
250,628,982
Financials
470,721,800
470,721,800
Health
Care
364,380,610
364,380,610
Industrials
289,742,974
289,742,974
Information
Technology
248,311,445
201,574,603
46,736,842
Materials
103,786,646
103,786,646
Real
Estate
68,610,724
68,610,724
Utilities
107,333,384
107,333,384
Subtotal
Investments
in
Securities
$2,457,046,506
$2,410,309,664
$46,736,842
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
38,746,721
Subtotal
Other
Investments
$38,746,721
Total
Investments
at
Value
$2,495,793,227
*
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
the
table
above
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
September
29,
2023
(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
Large
Cap
Value
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$45,826
$165,464
$172,543
$38,747
3,875
1.6%
Total
Affiliated
Short-Term
Investments
45,826
38,747
1.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
3,651
3,651
Total
Collateral
Held
for
Securities
Loaned
Total
Value
$45,826
$38,747
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$5
($5)
$
$1,178
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1,178
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$5
($5)
$
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
180
Principal
Amount
Long-Term
Fixed
Income
(
98
.6
%
)
Value
Asset-Backed
Securities
(17.6%)
510
Asset
Backed
Trust
$
2,154,166
2.116%, 
6/25/2061,
Ser.
2021-NPL2,
Class
A1
a,b
$
1,969,204
1,954,920
2.240%, 
11/25/2069,
Ser.
2021-NPL1,
Class
A1
a,b
1,821,176
ACHV
ABS
Trust
336,379
6.420%, 
3/18/2030,
Ser.
2023-1PL,
Class
A
a
336,473
599,633
6.420%, 
5/20/2030,
Ser.
2023-2PL,
Class
A
a
599,858
628,611
6.600%, 
8/19/2030,
Ser.
2023-3PL,
Class
A
a
628,989
Affirm
Asset
Securitization
Trust
258,939
1.750%, 
2/15/2027,
Ser.
2022-X1,
Class
A
a
254,585
2,000,000
4.300%, 
5/17/2027,
Ser.
2022-A,
Class
A
a
1,957,345
1,500,000
6.820%, 
9/15/2028,
Ser.
2023-B,
Class
A
a
1,501,897
Americredit
Automobile
Receivables
Trust
2,703,460
5.840%, 
10/19/2026,
Ser.
2023-1,
Class
A2A
2,702,194
AMSR
Trust
2,000,000
2.417%, 
12/17/2038,
Ser.
2021-SFR4,
Class
B
a
1,764,285
Ares
XL
CLO,
Ltd.
3,000,000
6.970%, 
(TSFR3M
+
1.662%),
1/15/2029,
Ser.
2016-40A,
Class
A3RR
a,c
2,963,073
Avant
Credit
Card
Master
Trust
4,500,000
1.370%, 
4/15/2027,
Ser.
2021-1A,
Class
A
a
4,179,464
Bankers
Healthcare
Group
Securitization
Trust
824,598
5.280%, 
10/17/2035,
Ser.
2022-C,
Class
A
a
818,514
BHG
Securitization
Trust
1,601,942
0.900%, 
10/17/2034,
Ser.
2021-B,
Class
A
a
1,540,417
BRAVO
Residential
Funding
Trust
2,452,539
6.065%, 
(SOFR30A
+
0.750%),
10/25/2023,
Ser.
2021-HE2,
Class
A1
a,c
2,410,007
Business
Jet
Securities,
LLC
626,683
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
a
587,534
CarVal
CLO
VII-C,
Ltd.
1,750,000
7.526%, 
(TSFR3M
+
2.200%),
1/20/2035,
Ser.
2023-1A,
Class
A1
a,c
1,757,266
Cascade
Funding
Mortgage
Trust
1,977,342
0.898%, 
6/25/2036,
Ser.
2021-HB6,
Class
A
a,c
1,915,581
898,173
1.100%, 
3/20/2041,
Ser.
2021-GRN1,
Class
A
a
843,536
Cascade
Funding
Mortgage
Trust,
LLC
722,623
0.801%, 
2/25/2031,
Ser.
2021-HB5,
Class
A
a,c
705,446
609,598
4.250%, 
4/25/2033,
Ser.
2023-HB12,
Class
A
a,c
583,512
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Asset-Backed
Securities
(17.6%)
-
continued
CIM
Trust
$
1,243,655
2.568%, 
7/25/2059,
Ser.
2021-NR2,
Class
A1
a,b
$
1,196,658
Commonbond
Student
Loan
Trust
244,284
2.550%, 
5/25/2041,
Ser.
2017-AGS,
Class
A1
a
225,232
486,182
5.934%, 
(TSFR1M
+
0.614%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
a,c
473,545
Dext
ABS,
LLC
781,814
5.680%, 
4/15/2024,
Ser.
2023-1,
Class
A1
a
781,155
DT
Auto
Owner
Trust
1,096,308
5.880%, 
4/15/2027,
Ser.
2023-2A,
Class
A
a
1,094,567
Education
Funding
Trust
1,180,392
2.790%, 
7/25/2041,
Ser.
2020-A,
Class
A
a
1,069,555
Elmwood
CLO
18,
Ltd.
2,500,000
6.958%, 
(TSFR3M
+
1.650%),
7/17/2033,
Ser.
2022-5A,
Class
AR
a,c
2,499,927
Flatiron
CLO,
Ltd.
3,500,000
7.076%, 
(TSFR3M
+
1.712%),
5/15/2030,
Ser.
2017-1A,
Class
BR
a,c
3,458,791
Foundation
Finance
Trust
1,124,709
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
a
991,729
2,500,000
6.530%, 
6/15/2049,
Ser.
2023-2A,
Class
A
a,d
2,500,000
Galaxy
XXIII
CLO,
Ltd.
3,800,000
6.957%, 
(TSFR3M
+
1.612%),
4/24/2029,
Ser.
2017-23A,
Class
B1R
a,c
3,756,851
Genesis
Sales
Finance
Master
Trust
5,000,000
1.200%, 
12/21/2026,
Ser.
2021-AA,
Class
A
a
4,747,857
GMAC
Mortgage
Corporation
Loan
Trust
33,087
5.934%, 
(TSFR1M
+
0.614%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
c,e
18,339
GSAA
Home
Equity
Trust
461,699
7.384%, 
(TSFR1M
+
2.064%),
5/25/2034,
Ser.
2004-4,
Class
M2
c
497,826
844,141
4.467%, 
8/25/2034,
Ser.
2004-10,
Class
M2
b,c
734,273
Longfellow
Place
CLO,
Ltd.
3,997,454
7.320%, 
(TSFR3M
+
2.012%),
4/15/2029,
Ser.
2013-1A,
Class
BR3
a,c
3,996,131
Marlette
Funding
Trust
1,819,653
6.070%, 
4/15/2033,
Ser.
2023-1A,
Class
A
a
1,816,003
Mercury
Financial
Credit
Card
Master
Trust
1,800,000
2.500%, 
9/21/2026,
Ser.
2022-1A,
Class
A
a
1,723,043
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
181
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Asset-Backed
Securities
(17.6%)
-
continued
National
Collegiate
Trust
$
606,213
5.729%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
a,c
$
587,038
Navient
Student
Loan
Trust
1,252,387
4.160%, 
10/15/2070,
Ser.
2022-BA,
Class
A
a
1,169,152
Oak
Street
Investment
2,091,297
1.850%, 
11/20/2050,
Ser.
2020-1A,
Class
A1
a
1,853,791
OneMain
Financial
Issuance
Trust
3,500,000
1.750%, 
9/14/2035,
Ser.
2020-2A,
Class
A
a
3,140,267
OZLM
VIII,
Ltd.
2,000,000
7.220%, 
(TSFR3M
+
1.912%),
10/17/2029,
Ser.
2014-8A,
Class
A2R3
a,c
1,982,880
Pagaya
AI
Debt
Trust
666,405
7.556%, 
7/15/2030,
Ser.
2023-1,
Class
A
a
669,121
Pagaya
AI
Technology
in
Housing
Trust
2,000,000
4.250%, 
8/25/2025,
Ser.
2022-1,
Class
B
a
1,883,564
Palmer
Square
Loan
Funding,
Ltd.
3,750,000
6.955%, 
(TSFR3M
+
1.700%),
7/20/2031,
Ser.
2023-1A,
Class
A1
a,c
3,750,544
Park
Blue
CLO
2022-II,
Ltd.
2,000,000
7.876%, 
(TSFR3M
+
2.550%),
1/20/2035,
Ser.
2022-2A,
Class
A1
a,c
2,013,384
PPM
CLO
6,
Ltd.
3,227,281
7.776%, 
(TSFR3M
+
2.450%),
1/20/2031,
Ser.
2022-6A,
Class
A
a,c
3,231,644
Preston
Ridge
Partners
Mortgage
Trust,
LLC
1,699,429
2.115%, 
1/25/2026,
Ser.
2021-1,
Class
A1
a,c
1,600,573
Pretium
Mortgage
Credit
Partners,
LLC
1,238,888
5.240%, 
4/25/2052,
Ser.
2022-NPL2,
Class
A1
a,b
1,203,798
2,326,431
1.868%, 
7/25/2051,
Ser.
2021-NPL3,
Class
A1
a,b
2,151,587
963,070
2.240%, 
9/27/2060,
Ser.
2021-NPL1,
Class
A1
a,b
929,365
Progress
Residential
Trust
1,997,532
2.078%, 
6/18/2037,
Ser.
2020-SFR2,
Class
A
a
1,868,409
Santander
Drive
Auto
Receivables
Trust
885,791
5.870%, 
3/16/2026,
Ser.
2023-2,
Class
A2
885,299
2,323,753
5.360%, 
5/15/2026,
Ser.
2023-1,
Class
A2
2,320,234
SFS
Auto
Receivables
Securitization
Trust
1,000,000
5.890%, 
3/22/2027,
Ser.
2023-1A,
Class
A2A
a
998,532
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Asset-Backed
Securities
(17.6%)
-
continued
Sound
Point
CLO
XIV,
Ltd.
$
4,500,000
7.107%, 
(TSFR3M
+
1.762%),
1/23/2029,
Ser.
2016-3A,
Class
B1R
a,c
$
4,495,887
5,000,000
7.657%, 
(TSFR3M
+
2.312%),
1/23/2029,
Ser.
2016-3A,
Class
CR
a,c
4,999,880
Sound
Point
CLO
XV,
Ltd.
6,000,000
7.107%, 
(TSFR3M
+
1.762%),
1/23/2029,
Ser.
2017-1A,
Class
BR
a,c
5,985,090
Terwin
Mortgage
Trust
1,029,264
6.934%, 
(TSFR1M
+
1.614%),
12/25/2034,
Ser.
2004-21HE,
Class
2M2
a,c
1,002,324
Tesla
Auto
Lease
Trust
1,600,000
0.910%, 
9/22/2025,
Ser.
2021-B,
Class
B
a
1,538,602
3,000,000
6.130%, 
9/21/2026,
Ser.
2023-B,
Class
A3
a
2,998,665
Towd
Point
Asset
Trust
1,675,960
1.050%, 
11/20/2061,
Ser.
2021-SL1,
Class
A1
a
1,517,821
Tricon
Residential
Trust
1,000,000
2.244%, 
7/17/2038,
Ser.
2021-SFR1,
Class
B
a
892,302
Upstart
Securitization
Trust
81,517
0.830%, 
7/20/2031,
Ser.
2021-3,
Class
A
a
81,245
1,872,476
6.590%, 
2/20/2033,
Ser.
2023-1,
Class
A
a
1,868,664
2,232,919
6.770%, 
6/20/2033,
Ser.
2023-2,
Class
A
a
2,229,767
VCAT
Asset
Securitization,
LLC
823,487
2.289%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A1
a,b
796,807
Vericrest
Opportunity
Loan
Transferee
1,937,104
1.893%, 
2/27/2051,
Ser.
2021-NPL1,
Class
A1
a,b
1,820,804
2,670,978
1.893%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A1
a,b
2,481,384
819,096
2.116%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A1
a,b
762,056
2,626,927
1.868%, 
8/25/2051,
Ser.
2021-NP11,
Class
A1
a,b
2,428,979
Veridian
Auto
Receivables
Trust
2,000,000
5.970%, 
8/17/2026,
Ser.
2023-1A,
Class
A2
a
1,995,386
Wind
River
CLO,
Ltd.
3,000,000
7.188%, 
(TSFR3M
+
1.862%),
7/20/2030,
Ser.
2013-1A,
Class
A2RR
a,c
2,988,900
Total
136,545,583
Basic
Materials
(1.5%)
Anglo
American
Capital
plc
1,050,000
4.875%, 
5/14/2025
a
1,030,447
EIDP,
Inc.
906,000
4.500%, 
5/15/2026
882,466
FMC
Corporation
925,000
5.150%, 
5/18/2026
898,671
Freeport-McMoRan,
Inc.
1,890,000
4.550%, 
11/14/2024
1,855,092
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
182
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Basic
Materials
(1.5%)
-
continued
Glencore
Funding,
LLC
$
1,000,000
4.625%, 
4/29/2024
a
$
989,913
1,475,000
6.125%, 
10/6/2028
a,f
1,472,468
LYB
International
Finance
III,
LLC
1,079,000
1.250%, 
10/1/2025
983,173
Nucor
Corporation
800,000
2.000%, 
6/1/2025
751,134
Steel
Dynamics,
Inc.
775,000
2.400%, 
6/15/2025
728,140
Syngenta
Finance
NV
2,235,000
4.892%, 
4/24/2025
a
2,179,347
Total
11,770,851
Capital
Goods
(2.2%)
Amphenol
Corporation
1,500,000
4.750%, 
3/30/2026
1,473,294
Boeing
Company
2,350,000
4.875%, 
5/1/2025
2,309,622
1,750,000
2.196%, 
2/4/2026
1,606,821
Howmet
Aerospace,
Inc.
1,014,000
6.875%, 
5/1/2025
1,017,969
1,100,000
3.000%, 
1/15/2029
931,105
Huntington
Ingalls
Industries,
Inc.
700,000
3.844%, 
5/1/2025
676,106
Ingersoll
Rand,
Inc.
250,000
5.400%, 
8/14/2028
245,791
John
Deere
Capital
Corporation
925,000
5.150%, 
9/8/2026
922,085
1,100,000
4.950%, 
7/14/2028
1,084,808
Otis
Worldwide
Corporation
1,225,000
2.056%, 
4/5/2025
1,156,513
Regal
Rexnord
Corporation
850,000
6.050%, 
2/15/2026
a
840,524
Republic
Services,
Inc.
750,000
2.500%, 
8/15/2024
728,442
1,250,000
0.875%, 
11/15/2025
1,130,891
Textron,
Inc.
2,000,000
3.875%, 
3/1/2025
1,941,807
Veralto
Corporation
1,100,000
5.500%, 
9/18/2026
a
1,094,967
Total
17,160,745
Collateralized
Mortgage
Obligations
(9.1%)
A&D
Mortgage
Trust
3,451,684
6.733%, 
7/25/2068,
Ser.
2023-NQM3,
Class
A1
a,b
3,447,232
Angel
Oak
Mortgage
Trust
2,486,332
3.137%, 
12/25/2066,
Ser.
2022-1,
Class
A2
a,c
2,066,462
Banc
of
America
Funding
Trust
265,204
4.115%, 
1/25/2035,
Ser.
2004-D,
Class
4A1
c
260,504
451,487
5.750%, 
3/25/2036,
Ser.
2006-3,
Class
3A1
412,629
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
98,500
7.670%, 
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
c
91,430
Bellemeade
Re,
Ltd.
75,487
7.065%, 
(SOFR30A
+
1.750%),
3/25/2031,
Ser.
2021-1A,
Class
M1A
a,c
75,506
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Collateralized
Mortgage
Obligations
(9.1%)
-
continued
CAFL
Issuer,
LLC
$
3,000,000
2.239%, 
3/28/2029,
Ser.
2021-RTL1,
Class
A1
a
$
2,772,719
Cascade
Funding
Mortgage
Trust
908,310
4.000%, 
10/25/2068,
Ser.
2018-RM2,
Class
A
a,c
895,442
CHNGE
Mortgage
Trust
1,662,156
6.000%, 
1/25/2058,
Ser.
2022-5,
Class
A1
a,c
1,609,495
1,620,842
3.007%, 
1/25/2067,
Ser.
2022-1,
Class
A1
a,c
1,428,128
2,903,694
7.065%, 
3/25/2058,
Ser.
2023-1,
Class
A1
a,c
2,874,884
2,451,657
3.757%, 
3/25/2067,
Ser.
2022-2,
Class
A1
a,c
2,250,916
2,747,028
6.525%, 
6/25/2058,
Ser.
2023-2,
Class
A1
a,b
2,697,330
2,845,705
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
a,b
2,829,818
Citigroup
Mortgage
Loan
Trust,
Inc.
580,457
4.096%, 
(CMT
1Y
+
2.400%),
3/25/2036,
Ser.
2006-AR1,
Class
3A1
c
531,761
COLT
Mortgage
Loan
Trust
2,404,319
1.726%, 
11/25/2066,
Ser.
2021-5,
Class
A1
a,c
1,969,627
Countrywide
Alternative
Loan
Trust
149,913
5.500%, 
11/25/2035,
Ser.
2005-49CB,
Class
A1
99,569
167,017
5.500%, 
2/25/2036,
Ser.
2005-85CB,
Class
2A2
127,590
Credit
Suisse
Mortgage
Capital
Certificates
2,905,647
2.303%, 
10/25/2066,
Ser.
2021-NQM8,
Class
A2
a,c
2,306,332
Deephaven
Residential
Mortgage
Trust
2,480,370
2.205%, 
1/25/2067,
Ser.
2022-1,
Class
A1
a,c
2,145,109
2,316,124
2.085%, 
11/25/2066,
Ser.
2021-4,
Class
A2
a,c
1,910,927
Federal
National
Mortgage
Association
-
REMIC
2,054,383
4.500%, 
1/25/2046,
Ser.
2022-68,
Class
BA
1,985,785
Flagstar
Mortgage
Trust
1,576,133
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
a,c
1,308,362
GCAT
Trust
1,884,349
1.855%, 
8/25/2066,
Ser.
2021-NQM6,
Class
A1
a,c
1,583,878
GS
Mortgage-Backed
Securities
Trust
358,248
1.791%, 
9/27/2060,
Ser.
2020-NQM1,
Class
A2
a,c
320,041
Homeward
Opportunities
Fund
Trust
255,065
6.228%, 
8/25/2025,
Ser.
2020-BPL1,
Class
A1
a
255,179
J.P.
Morgan
Alternative
Loan
Trust
606,973
4.188%, 
3/25/2036,
Ser.
2006-A1,
Class
2A1
c
466,645
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
183
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Collateralized
Mortgage
Obligations
(9.1%)
-
continued
LHOME
Mortgage
Trust
$
696,013
2.090%, 
2/25/2026,
Ser.
2021-RTL1,
Class
A1
a,c
$
692,498
2,137,544
2.090%, 
6/25/2026,
Ser.
2021-RTL2,
Class
A1
a,b
2,102,757
2,000,000
2.363%, 
9/25/2026,
Ser.
2021-RTL3,
Class
A1
a,b
1,939,945
1,100,000
8.000%, 
6/25/2028,
Ser.
2023-RTL2,
Class
A1
a,b
1,098,043
MFRA
Trust
2,108,523
3.875%, 
9/25/2056,
Ser.
2022-CHM1,
Class
A1
a,b
1,942,907
Mortgage
Equity
Conversion
Asset
Trust
1,018,183
5.950%, 
(CMT
1Y
+
0.490%),
1/25/2042,
Ser.
2007-FF1,
Class
A
a,c
1,007,523
1,030,690
5.930%, 
(CMT
1Y
+
0.470%),
2/25/2042,
Ser.
2007-FF2,
Class
A
a,c
1,019,672
New
York
Mortgage
Trust
2,247,591
2.239%, 
5/25/2026,
Ser.
2021-BPL1,
Class
A1
a,b
2,226,612
Palisades
Mortgage
Loan
Trust
1,500,000
2.857%, 
6/25/2026,
Ser.
2021-RTL1,
Class
A1
a,b
1,455,050
Preston
Ridge
Partners
Mortgage
Trust,
LLC
1,670,163
2.363%, 
11/25/2025,
Ser.
2020-6,
Class
A1
a,b
1,621,879
ROC
Securities
Trust
Series
2,900,000
2.487%, 
8/25/2026,
Ser.
2021-RTL1,
Class
A1
a,c
2,821,711
Starwood
Mortgage
Residential
Trust
1,709,000
2.731%, 
11/25/2066,
Ser.
2021-6,
Class
A2
a,c
1,084,448
Toorak
Mortgage
Corporation,
Ltd.
2,485,381
2.577%, 
2/25/2057,
Ser.
2022-INV1,
Class
A1
a,c
2,152,074
2,288,799
2.240%, 
6/25/2024,
Ser.
2021-1,
Class
A1
a,b
2,225,515
TRK
Trust
1,588,841
1.966%, 
11/25/2056,
Ser.
2021-INV2,
Class
A1
a,c
1,283,161
TVC
Mortgage
Trust
1,500,000
8.250%, 
11/25/2027,
Ser.
2023-RTL1,
Class
A1
a
1,494,962
Vericrest
Opportunity
Loan
Transferee
1,454,574
2.116%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A1
a,b
1,376,455
Verus
Securitization
Trust
3,444,271
5.930%, 
3/25/2068,
Ser.
2023-3,
Class
A1
a,b
3,393,412
1,363,785
2.286%, 
11/25/2066,
Ser.
2021-8,
Class
A2
a,c
1,100,636
Wachovia
Mortgage
Loan
Trust,
LLC
32,060
4.624%, 
5/20/2036,
Ser.
2006-A,
Class
2A1
c
30,224
Total
70,792,784
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Commercial
Mortgage-Backed
Securities
(0.8%)
GCT
Commercial
Mortgage
Trust
$
2,000,000
6.697%, 
(TSFR1M
+
1.364%),
2/15/2038,
Ser.
2021-GCT,
Class
B
a,c
$
1,319,681
GS
Mortgage
Securities
Trust
3,000,000
7.047%, 
(TSFR1M
+
1.714%),
5/15/2026,
Ser.
2021-ROSS,
Class
B
a,c
2,523,314
Silver
Hill
Trust
2,148,529
3.102%, 
11/25/2049,
Ser.
2019-1,
Class
A1
a,c
2,022,879
Total
5,865,874
Communications
Services
(3.4%)
American
Tower
Corporation
750,000
3.375%, 
5/15/2024
737,951
1,000,000
4.400%, 
2/15/2026
968,188
500,000
1.450%, 
9/15/2026
440,642
1,200,000
5.500%, 
3/15/2028
1,177,305
Bell
Telephone
Company
of
Canada
2,250,000
0.750%, 
3/17/2024
2,197,304
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
650,000
4.500%, 
2/1/2024
646,492
2,100,000
4.908%, 
7/23/2025
2,052,020
Cox
Communications,
Inc.
517,000
3.150%, 
8/15/2024
a
504,436
Crown
Castle
International
Corporation
1,000,000
3.200%, 
9/1/2024
974,485
Crown
Castle,
Inc.
740,000
4.800%, 
9/1/2028
702,380
Meta
Platforms,
Inc.
1,100,000
4.600%, 
5/15/2028
1,076,035
Netflix,
Inc.
1,000,000
5.875%, 
2/15/2025
997,200
NTT
Finance
Corporation
700,000
4.142%, 
7/26/2024
a
690,130
Paramount
Global
400,000
4.750%, 
5/15/2025
389,051
Sprint
Capital
Corporation
2,770,000
6.875%, 
11/15/2028
2,860,015
Sprint
Corporation
2,450,000
7.125%, 
6/15/2024
2,464,903
1,000,000
7.625%, 
2/15/2025
1,014,654
Take-Two
Interactive
Software,
Inc.
1,250,000
5.000%, 
3/28/2026
1,226,542
T-Mobile
USA,
Inc.
1,400,000
3.500%, 
4/15/2025
1,350,872
Warnermedia
Holdings,
Inc.
1,900,000
3.638%, 
3/15/2025
1,832,531
1,800,000
3.755%, 
3/15/2027
1,661,792
Total
25,964,928
Consumer
Cyclical
(5.5%)
D.R.
Horton,
Inc.
800,000
2.600%, 
10/15/2025
748,557
Daimler
Trucks
Finance
North
America,
LLC
2,000,000
1.625%, 
12/13/2024
a
1,900,058
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
184
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Consumer
Cyclical
(5.5%)
-
continued
$
1,100,000
5.600%, 
8/8/2025
a
$
1,093,036
Expedia
Group,
Inc.
3,150,000
6.250%, 
5/1/2025
a
3,155,182
Ford
Motor
Credit
Company,
LLC
1,840,000
3.370%, 
11/17/2023
1,829,093
1,250,000
3.810%, 
1/9/2024
1,236,390
1,100,000
3.375%, 
11/13/2025
1,020,598
General
Motors
Company
1,000,000
6.125%, 
10/1/2025
999,135
General
Motors
Financial
Company,
Inc.
500,000
1.050%, 
3/8/2024
488,864
900,000
3.950%, 
4/13/2024
887,947
1,420,000
2.900%, 
2/26/2025
1,354,772
925,000
2.750%, 
6/20/2025
870,788
Hyatt
Hotels
Corporation
1,650,000
5.750%, 
1/30/2027
1,639,418
Hyundai
Capital
America
900,000
0.800%, 
1/8/2024
a
887,359
1,140,000
1.800%, 
10/15/2025
a
1,048,244
750,000
1.650%, 
9/17/2026
a
661,849
Hyundai
Capital
Services,
Inc.
750,000
1.250%, 
2/8/2026
a
672,790
Kohl's
Corporation
2,286,000
10.750%, 
5/15/2025
2,337,435
Lennar
Corporation
1,100,000
4.750%, 
5/30/2025
1,076,117
Lowe's
Companies,
Inc.
2,000,000
4.000%, 
4/15/2025
1,948,831
1,000,000
4.400%, 
9/8/2025
977,595
Marriott
International,
Inc./MD
1,150,000
3.600%, 
4/15/2024
1,135,806
819,000
5.750%, 
5/1/2025
817,403
750,000
5.450%, 
9/15/2026
743,120
McDonald's
Corporation
700,000
4.800%, 
8/14/2028
684,677
Mercedes-Benz
Finance
North
America,
LLC
925,000
5.200%, 
8/3/2026
a
915,653
750,000
5.100%, 
8/3/2028
a
734,483
Meritage
Homes
Corporation
1,250,000
6.000%, 
6/1/2025
1,228,939
PACCAR
Financial
Corporation
1,100,000
5.050%, 
8/10/2026
1,094,702
925,000
4.950%, 
8/10/2028
914,454
PulteGroup,
Inc.
1,750,000
5.500%, 
3/1/2026
1,737,962
Starbucks
Corporation
900,000
4.750%, 
2/15/2026
886,757
Toyota
Motor
Credit
Corporation
875,000
0.800%, 
10/16/2025
796,236
1,100,000
4.450%, 
5/18/2026
1,075,585
VICI
Properties,
LP/VICI
Note
Company,
Inc.
2,750,000
4.625%, 
6/15/2025
a
2,655,647
Total
42,255,482
Consumer
Non-Cyclical
(5.3%)
AbbVie,
Inc.
1,920,000
3.600%, 
5/14/2025
1,855,589
Altria
Group,
Inc.
1,000,000
4.400%, 
2/14/2026
970,753
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Consumer
Non-Cyclical
(5.3%)
-
continued
Amgen,
Inc.
$
1,000,000
5.250%, 
3/2/2025
$
992,515
825,000
5.150%, 
3/2/2028
811,384
BAT
International
Finance
plc
2,500,000
1.668%, 
3/25/2026
2,252,415
1,100,000
5.931%, 
2/2/2029
1,079,923
Becton,
Dickinson
and
Company
1,250,000
4.693%, 
2/13/2028
1,211,846
Coca-Cola
Europacific
Partners
plc
1,250,000
0.800%, 
5/3/2024
a
1,213,426
Conagra
Brands,
Inc.
1,750,000
4.300%, 
5/1/2024
1,731,724
CVS
Health
Corporation
900,000
5.000%, 
2/20/2026
886,029
GSK
Consumer
Healthcare
Capital
US,
LLC
1,100,000
3.375%, 
3/24/2027
1,020,524
HCA,
Inc.
1,250,000
5.875%, 
2/15/2026
1,243,072
Imperial
Brands
Finance
plc
1,750,000
3.125%, 
7/26/2024
a
1,705,389
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
USA
Finance,
Inc.
2,000,000
2.500%, 
1/15/2027
1,766,640
Kenvue,
Inc.
915,000
5.050%, 
3/22/2028
a
902,886
Kraft
Heinz
Foods
Company
2,500,000
3.000%, 
6/1/2026
2,343,554
Mattel,
Inc.
2,000,000
3.375%, 
4/1/2026
a
1,849,399
McKesson
Corporation
1,500,000
0.900%, 
12/3/2025
1,355,140
Nestle
Holdings,
Inc.
1,475,000
5.000%, 
3/14/2028
a
1,466,074
Newell
Brands,
Inc.
2,000,000
4.875%, 
6/1/2025
1,916,376
Pfizer
Investment
Enterprises
Pte,
Ltd.
1,940,000
4.450%, 
5/19/2026
1,895,200
Philip
Morris
International,
Inc.
1,250,000
5.000%, 
11/17/2025
1,235,120
1,350,000
0.875%, 
5/1/2026
1,203,368
900,000
4.875%, 
2/15/2028
871,898
Royalty
Pharma
plc
2,675,000
1.200%, 
9/2/2025
2,430,910
Stryker
Corporation
2,500,000
3.500%, 
3/15/2026
2,382,826
Universal
Health
Services,
Inc.
1,650,000
1.650%, 
9/1/2026
1,454,412
Zoetis,
Inc.
1,150,000
5.400%, 
11/14/2025
1,145,069
Total
41,193,461
Energy
(4.5%)
Canadian
Natural
Resources,
Ltd.
1,400,000
2.050%, 
7/15/2025
1,306,496
Cheniere
Corpus
Christi
Holdings,
LLC
1,391,000
5.875%, 
3/31/2025
1,380,651
Cheniere
Energy
Partners,
LP
2,500,000
4.500%, 
10/1/2029
2,263,683
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
185
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Energy
(4.5%)
-
continued
Columbia
Pipelines
Holding
Company,
LLC
$
925,000
6.055%, 
8/15/2026
a
$
927,901
740,000
6.042%, 
8/15/2028
a
736,249
Continental
Resources,
Inc.
2,650,000
2.268%, 
11/15/2026
a
2,347,763
Devon
Energy
Corporation
1,800,000
5.250%, 
9/15/2024
1,786,324
1,150,000
5.850%, 
12/15/2025
1,144,151
Energy
Transfer,
LP
950,000
2.900%, 
5/15/2025
902,524
EQT
Corporation
277,000
6.125%, 
2/1/2025
276,045
Hess
Corporation
1,738,000
3.500%, 
7/15/2024
1,704,449
Marathon
Petroleum
Corporation
1,700,000
4.700%, 
5/1/2025
1,664,950
MPLX,
LP
1,500,000
4.875%, 
6/1/2025
1,471,298
1,100,000
1.750%, 
3/1/2026
997,426
National
Fuel
Gas
Company
750,000
5.200%, 
7/15/2025
734,989
1,370,000
5.500%, 
1/15/2026
1,347,349
Occidental
Petroleum
Corporation
1,500,000
5.875%, 
9/1/2025
1,492,380
ONEOK
Partners,
LP
721,000
4.900%, 
3/15/2025
708,079
ONEOK,
Inc.
500,000
5.550%, 
11/1/2026
496,741
500,000
5.650%, 
11/1/2028
493,524
Ovintiv,
Inc.
750,000
5.650%, 
5/15/2025
745,708
1,200,000
5.375%, 
1/1/2026
1,183,160
Phillips
66
Company
800,000
4.950%, 
12/1/2027
783,976
Pioneer
Natural
Resources
Company
1,700,000
1.125%, 
1/15/2026
1,536,357
Plains
All
American
Pipeline,
LP/
PAA
Finance
Corporation
2,000,000
3.850%, 
10/15/2023
1,996,500
750,000
4.650%, 
10/15/2025
728,202
Targa
Resources
Partners,
LP/
Targa
Resources
Partners
Finance
Corporation
1,750,000
6.875%, 
1/15/2029
1,751,677
Transcontinental
Gas
Pipe
Line
Company,
LLC
600,000
7.850%, 
2/1/2026
623,811
Western
Midstream
Operating,
LP
1,500,000
3.100%, 
2/1/2025
1,435,110
Total
34,967,473
Financials
(31.3%)
ABN
AMRO
Bank
NV
1,100,000
6.339%, 
9/18/2027
a,c
1,097,242
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
1,375,000
3.150%, 
2/15/2024
1,359,312
1,000,000
1.650%, 
10/29/2024
951,241
1,300,000
6.500%, 
7/15/2025
1,301,499
1,200,000
1.750%, 
1/30/2026
1,082,964
250,000
2.450%, 
10/29/2026
223,924
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Financials
(31.3%)
-
continued
$
900,000
6.100%, 
1/15/2027
$
895,594
Air
Lease
Corporation
1,500,000
4.250%, 
2/1/2024
1,489,564
1,500,000
0.800%, 
8/18/2024
1,430,197
Aircastle,
Ltd.
2,100,000
5.250%, 
8/11/2025
a
2,045,490
Ally
Financial,
Inc.
3,000,000
5.750%, 
11/20/2025
g
2,914,072
American
Express
Company
1,650,000
2.250%, 
3/4/2025
1,567,964
1,500,000
3.950%, 
8/1/2025
1,451,050
625,000
4.900%, 
2/13/2026
613,175
American
International
Group,
Inc.
700,000
2.500%, 
6/30/2025
660,331
Anthem,
Inc.
1,025,000
2.375%, 
1/15/2025
978,763
Ares
Capital
Corporation
924,000
4.250%, 
3/1/2025
888,600
1,350,000
3.875%, 
1/15/2026
1,263,214
800,000
2.150%, 
7/15/2026
701,887
Athene
Global
Funding
1,100,000
1.200%, 
10/13/2023
a
1,098,365
Australia
&
New
Zealand
Banking
Group,
Ltd.
1,890,000
2.950%, 
7/22/2030
a,c
1,754,476
Aviation
Capital
Group,
LLC
1,500,000
4.875%, 
10/1/2025
a
1,441,247
Avolon
Holdings
Funding,
Ltd.
2,000,000
3.950%, 
7/1/2024
a
1,957,592
1,644,000
5.500%, 
1/15/2026
a
1,591,536
1,000,000
2.125%, 
2/21/2026
a
895,784
450,000
4.250%, 
4/15/2026
a
422,953
Banco
Santander
Mexico
SA
320,000
5.375%, 
4/17/2025
a
314,514
Banco
Santander
SA
1,000,000
5.742%, 
(CMT
1Y
+
0.450%),
6/30/2024
c
998,131
1,600,000
5.147%, 
8/18/2025
1,566,405
1,000,000
1.849%, 
3/25/2026
899,326
600,000
4.175%, 
3/24/2028
c
554,027
1,000,000
5.588%, 
8/8/2028
978,240
Bank
of
America
Corporation
1,775,000
4.200%, 
8/26/2024
1,743,922
1,800,000
0.810%, 
10/24/2024
c
1,793,090
1,000,000
3.458%, 
3/15/2025
c
986,649
1,250,000
0.976%, 
4/22/2025
c
1,211,066
1,500,000
3.841%, 
4/25/2025
c
1,478,748
1,125,000
0.981%, 
9/25/2025
c
1,065,532
1,900,000
2.456%, 
10/22/2025
c
1,824,651
850,000
3.384%, 
4/2/2026
c
813,531
1,275,000
1.319%, 
6/19/2026
c
1,169,270
1,000,000
4.827%, 
7/22/2026
c
974,889
1,500,000
1.734%, 
7/22/2027
c
1,329,239
Bank
of
Montreal
1,000,000
1.500%, 
1/10/2025
945,249
1,100,000
5.920%, 
9/25/2025
1,097,579
Bank
of
New
York
Mellon
Corporation
700,000
4.700%, 
9/20/2025
c,h
673,792
1,000,000
4.414%, 
7/24/2026
c
971,665
Bank
of
New
Zealand
875,000
2.000%, 
2/21/2025
a
828,963
1,800,000
4.846%, 
2/7/2028
a
1,730,956
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
186
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Financials
(31.3%)
-
continued
Bank
of
Nova
Scotia
$
1,000,000
5.250%, 
12/6/2024
$
990,801
935,000
4.900%, 
6/4/2025
c,h
855,166
Barclays
plc
1,500,000
4.375%, 
9/11/2024
1,469,754
1,600,000
1.007%, 
12/10/2024
c
1,582,579
500,000
5.829%, 
5/9/2027
c
491,040
1,100,000
6.496%, 
9/13/2027
c
1,097,082
500,000
2.279%, 
11/24/2027
c
440,533
Blackstone
Private
Credit
Fund
1,750,000
2.700%, 
1/15/2025
1,657,506
850,000
4.700%, 
3/24/2025
824,593
Blue
Owl
Capital
Corporation
750,000
4.250%, 
1/15/2026
701,653
1,000,000
3.400%, 
7/15/2026
896,562
Blue
Owl
Credit
Income
Corporation
650,000
4.700%, 
2/8/2027
591,481
Blue
Owl
Technology
Finance
Corporation
750,000
4.750%, 
12/15/2025
a
693,720
750,000
3.750%, 
6/17/2026
a
665,604
BNP
Paribas
SA
1,900,000
6.625%, 
3/25/2024
a,c,h
1,873,561
960,000
2.819%, 
11/19/2025
a,c
922,013
1,300,000
1.323%, 
1/13/2027
a,c
1,164,171
BPCE
SA
950,000
2.375%, 
1/14/2025
a
900,188
750,000
5.975%, 
1/18/2027
a,c
741,893
Canadian
Imperial
Bank
of
Commerce
1,300,000
5.144%, 
4/28/2025
1,283,048
1,250,000
3.945%, 
8/4/2025
1,206,809
1,100,000
5.926%, 
10/2/2026
f
1,099,736
Capital
One
Financial
Corporation
750,000
1.343%, 
12/6/2024
c
740,942
750,000
2.636%, 
3/3/2026
c
707,826
1,500,000
4.985%, 
7/24/2026
c
1,455,380
Centene
Corporation
2,000,000
4.250%, 
12/15/2027
1,843,820
1,200,000
4.625%, 
12/15/2029
1,080,756
Charles
Schwab
Corporation
400,000
5.375%, 
6/1/2025
c,h
384,291
1,250,000
4.000%, 
6/1/2026
c,h
1,044,008
1,100,000
5.875%, 
8/24/2026
1,096,377
Citigroup,
Inc.
2,500,000
0.776%, 
10/30/2024
c
2,488,325
1,000,000
3.290%, 
3/17/2026
c
956,981
925,000
3.106%, 
4/8/2026
c
882,741
1,150,000
1.122%, 
1/28/2027
c
1,024,786
Comerica,
Inc.
585,000
5.625%, 
7/1/2025
c,h
536,021
Cooperatieve
Rabobank
UA
1,625,000
1.339%, 
6/24/2026
a,c
1,495,272
Corebridge
Financial,
Inc.
1,000,000
3.650%, 
4/5/2027
925,727
Corporate
Office
Properties,
LP
450,000
2.250%, 
3/15/2026
405,137
Credit
Agricole
SA
1,000,000
6.875%, 
9/23/2024
a,c,g,h
975,448
750,000
1.247%, 
1/26/2027
a,c
669,883
725,000
6.316%, 
10/3/2029
a,c,f
725,084
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Financials
(31.3%)
-
continued
Credit
Suisse
Group
AG
$
990,000
7.500%, 
12/11/2023
*,c,h,i
$
94,050
Danske
Bank
AS
1,500,000
5.375%, 
1/12/2024
a
1,493,992
1,000,000
0.976%, 
9/10/2025
a,c
947,866
500,000
6.466%, 
1/9/2026
a,c
499,085
Deutsche
Bank
AG
2,700,000
4.500%, 
4/1/2025
2,597,538
2,000,000
6.000%, 
10/30/2025
c,h
1,560,981
Deutsche
Bank
AG/New
York,
NY
1,200,000
3.700%, 
5/30/2024
1,175,533
1,100,000
2.129%, 
11/24/2026
c
994,786
Discover
Bank
1,250,000
2.450%, 
9/12/2024
1,201,399
1,285,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
c
1,175,815
Elevance
Health,
Inc.
750,000
5.350%, 
10/15/2025
745,269
Equitable
Financial
Life
Global
Funding
1,500,000
0.800%, 
8/12/2024
a
1,433,128
Fifth
Third
Bancorp
1,900,000
2.375%, 
1/28/2025
1,803,968
Fifth
Third
Bank
NA
200,000
3.850%, 
3/15/2026
184,992
First-Citizens
Bank
&
Trust
Company
1,565,000
6.125%, 
3/9/2028
1,554,437
FS
KKR
Capital
Corporation
1,100,000
4.250%, 
2/14/2025
a
1,053,244
2,000,000
3.400%, 
1/15/2026
1,832,774
GA
Global
Funding
Trust
1,200,000
1.625%, 
1/15/2026
a
1,071,117
Goldman
Sachs
Group,
Inc.
1,000,000
5.700%, 
11/1/2024
996,179
940,000
3.500%, 
4/1/2025
905,099
1,915,000
3.272%, 
9/29/2025
c
1,855,623
272,000
4.250%, 
10/21/2025
262,117
1,700,000
0.855%, 
2/12/2026
c
1,575,424
1,250,000
3.615%, 
3/15/2028
c
1,153,342
1,100,000
4.482%, 
8/23/2028
c
1,041,162
HSBC
Holdings
plc
500,000
4.250%, 
3/14/2024
495,638
500,000
2.999%, 
3/10/2026
c
476,480
1,325,000
1.645%, 
4/18/2026
c
1,231,481
1,000,000
1.589%, 
5/24/2027
c
881,753
Huntington
National
Bank
1,000,000
5.699%, 
11/18/2025
c
977,411
ING
Groep
NV
500,000
4.625%, 
1/6/2026
a
484,386
1,250,000
1.726%, 
4/1/2027
c
1,118,363
1,000,000
4.017%, 
3/28/2028
c
928,374
J.P.
Morgan
Chase
&
Company
1,500,000
6.393%, 
(TSFR3M
+
1.112%),
1/10/2025
c
1,502,730
700,000
0.563%, 
2/16/2025
c
684,347
1,500,000
0.969%, 
6/23/2025
c
1,439,524
750,000
1.561%, 
12/10/2025
c
708,811
500,000
5.546%, 
12/15/2025
c
496,514
800,000
2.005%, 
3/13/2026
c
753,338
900,000
2.083%, 
4/22/2026
c
844,745
1,000,000
3.650%, 
6/1/2026
c,h
872,838
2,500,000
1.045%, 
11/19/2026
c
2,246,774
725,000
1.040%, 
2/4/2027
c
645,217
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
187
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Financials
(31.3%)
-
continued
$
800,000
4.851%, 
7/25/2028
c
$
771,172
KeyBank
NA/Cleveland,
OH
500,000
4.700%, 
1/26/2026
474,118
KeyCorp
550,000
3.878%, 
5/23/2025
c
530,194
Kilroy
Realty,
LP
1,800,000
4.375%, 
10/1/2025
1,723,901
Lloyds
Banking
Group
plc
925,000
7.500%, 
6/27/2024
c,h
902,454
350,000
4.582%, 
12/10/2025
334,717
550,000
5.985%, 
8/7/2027
c
545,047
1,000,000
3.750%, 
3/18/2028
c
918,308
M&T
Bank
Corporation
750,000
3.500%, 
9/1/2026
c,h
527,430
Macquarie
Group,
Ltd.
1,250,000
1.201%, 
10/14/2025
a,c
1,185,273
Manufacturers
&
Traders
Trust
Company
1,000,000
5.400%, 
11/21/2025
969,725
1,000,000
4.650%, 
1/27/2026
953,081
Met
Tower
Global
Funding
1,100,000
5.400%, 
6/20/2026
a
1,091,533
Metropolitan
Life
Global
Funding
I
1,100,000
5.400%, 
9/12/2028
a
1,087,761
Mitsubishi
UFJ
Financial
Group,
Inc.
875,000
2.193%, 
2/25/2025
829,647
2,000,000
0.953%, 
7/19/2025
c
1,916,982
800,000
5.063%, 
9/12/2025
c
791,249
Mizuho
Financial
Group
Cayman
3,
Ltd.
825,000
4.600%, 
3/27/2024
a
817,078
Morgan
Stanley
750,000
2.720%, 
7/22/2025
c
727,860
1,300,000
0.864%, 
10/21/2025
c
1,224,789
1,750,000
5.000%, 
11/24/2025
1,715,237
500,000
4.679%, 
7/17/2026
c
487,085
1,000,000
6.138%, 
10/16/2026
c
1,000,950
1,000,000
0.985%, 
12/10/2026
c
892,152
2,000,000
5.164%, 
4/20/2029
c
1,924,110
465,000
5.449%, 
7/20/2029
c
453,128
National
Bank
of
Canada
1,500,000
0.750%, 
8/6/2024
1,432,493
NatWest
Group
plc
1,500,000
4.269%, 
3/22/2025
c
1,483,934
750,000
5.847%, 
3/2/2027
c
740,224
400,000
3.754%, 
11/1/2029
c
380,857
New
York
Life
Global
Funding
1,100,000
4.900%, 
6/13/2028
a
1,069,460
Nomura
Holdings,
Inc.
1,890,000
2.648%, 
1/16/2025
1,802,999
750,000
2.329%, 
1/22/2027
659,954
Nordea
Bank
ABP
1,700,000
1.500%, 
9/30/2026
a
1,492,950
Northwestern
Mutual
Global
Funding
1,100,000
4.900%, 
6/12/2028
a
1,071,214
Omega
Healthcare
Investors,
Inc.
380,000
4.950%, 
4/1/2024
377,307
800,000
4.500%, 
1/15/2025
777,475
1,000,000
5.250%, 
1/15/2026
974,612
Peachtree
Corners
Funding
Trust
1,375,000
3.976%, 
2/15/2025
a
1,327,414
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Financials
(31.3%)
-
continued
PNC
Financial
Services
Group,
Inc.
$
750,000
5.671%, 
10/28/2025
c
$
744,211
1,500,000
3.400%, 
9/15/2026
c,h
1,109,660
1,000,000
4.758%, 
1/26/2027
c
972,087
925,000
5.582%, 
6/12/2029
c
897,355
Pricoa
Global
Funding
I
1,500,000
5.550%, 
8/28/2026
a
1,500,122
Principal
Life
Global
Funding
II
1,000,000
1.375%, 
1/10/2025
a
944,065
900,000
0.875%, 
1/12/2026
a
803,665
Realty
Income
Corporation
2,950,000
4.625%, 
11/1/2025
2,884,735
500,000
4.875%, 
6/1/2026
490,676
Regency
Centers,
LP
1,500,000
3.750%, 
6/15/2024
1,464,176
Regions
Financial
Corporation
1,285,000
2.250%, 
5/18/2025
1,198,711
Royal
Bank
of
Canada
1,475,000
4.950%, 
4/25/2025
1,453,639
1,825,000
4.875%, 
1/12/2026
1,791,055
1,100,000
5.200%, 
8/1/2028
g
1,070,640
Santander
Holdings
USA,
Inc.
350,000
3.450%, 
6/2/2025
332,885
750,000
2.490%, 
1/6/2028
c
651,208
Santander
UK
Group
Holdings
plc
925,000
1.532%, 
8/21/2026
c
838,468
Simon
Property
Group,
LP
1,250,000
3.300%, 
1/15/2026
1,186,363
Societe
Generale
SA
1,800,000
2.625%, 
10/16/2024
a
1,730,009
1,400,000
1.488%, 
12/14/2026
a,c
1,249,873
Standard
Chartered
plc
900,000
0.991%, 
1/12/2025
a,c
885,104
500,000
1.214%, 
3/23/2025
a,c
486,544
1,000,000
2.608%, 
1/12/2028
a,c
885,237
State
Street
Corporation
1,100,000
5.104%, 
5/18/2026
c
1,086,098
1,000,000
5.751%, 
11/4/2026
c
996,486
Sumitomo
Mitsui
Financial
Group,
Inc.
750,000
0.948%, 
1/12/2026
671,644
1,200,000
2.174%, 
1/14/2027
1,067,317
1,100,000
5.716%, 
9/14/2028
1,085,632
Sumitomo
Mitsui
Trust
Bank,
Ltd.
1,100,000
5.650%, 
9/14/2026
a
1,095,611
Synchrony
Financial
1,485,000
4.250%, 
8/15/2024
1,450,254
1,920,000
4.500%, 
7/23/2025
1,828,318
Synovus
Bank
1,845,000
5.625%, 
2/15/2028
1,671,702
Toronto-Dominion
Bank
1,000,000
5.103%, 
1/9/2026
g
986,618
Truist
Financial
Corporation
675,000
4.950%, 
9/1/2025
c,h
620,718
650,000
4.260%, 
7/28/2026
c
625,760
1,100,000
1.267%, 
3/2/2027
c
974,646
U.S.
Bancorp
750,000
5.727%, 
10/21/2026
c
743,761
500,000
4.548%, 
7/22/2028
c
469,653
UBS
AG
2,756,000
5.125%, 
5/15/2024
2,716,038
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
188
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Financials
(31.3%)
-
continued
UBS
Group
AG
$
800,000
4.490%, 
8/5/2025
a,c
$
785,937
3,350,000
1.305%, 
2/2/2027
a,c
2,970,807
1,100,000
6.327%, 
12/22/2027
a,c
1,098,233
USB
Realty
Corporation
95,000
6.717%, 
(TSFR3M
+
1.409%),
1/15/2027
a,c,h
69,104
Wells
Fargo
&
Company
3,200,000
2.406%, 
10/30/2025
c
3,066,578
1,000,000
3.908%, 
4/25/2026
c
963,553
500,000
4.540%, 
8/15/2026
c
485,629
850,000
3.526%, 
3/24/2028
c
780,618
1,100,000
5.574%, 
7/25/2029
c
1,073,151
Welltower
OP,
LLC
2,000,000
3.625%, 
3/15/2024
1,977,114
Westpac
Banking
Corporation
940,000
2.894%, 
2/4/2030
c
886,107
Westpac
New
Zealand,
Ltd.
1,100,000
4.902%, 
2/15/2028
a
1,061,321
Total
242,878,182
Foreign
Government
(0.2%)
NBN
Company,
Ltd.
1,000,000
0.875%, 
10/8/2024
a
949,996
1,000,000
1.450%, 
5/5/2026
a
898,534
Total
1,848,530
Mortgage-Backed
Securities
(<0.1%)
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
55,945
3.764%, 
(RFUCCT1Y
+
1.514%),
1/1/2043
c
54,520
Total
54,520
Technology
(3.6%)
Broadcom
Corporation/Broadcom
Cayman
Finance,
Ltd.
2,000,000
3.125%, 
1/15/2025
1,928,224
Dell
International,
LLC/EMC
Corporation
1,750,000
5.850%, 
7/15/2025
1,747,667
Fidelity
National
Information
Services,
Inc.
1,200,000
0.600%, 
3/1/2024
1,172,698
Fiserv,
Inc.
2,000,000
2.750%, 
7/1/2024
1,951,850
1,100,000
5.450%, 
3/2/2028
1,090,330
Global
Payments,
Inc.
875,000
2.650%, 
2/15/2025
833,662
Hewlett
Packard
Enterprise
Company
1,475,000
5.900%, 
10/1/2024
1,473,802
Intel
Corporation
725,000
4.875%, 
2/10/2026
716,306
Jabil,
Inc.
1,000,000
4.250%, 
5/15/2027
945,688
Microchip
Technology,
Inc.
1,000,000
0.983%, 
9/1/2024
954,612
NXP
BV/NXP
Funding,
LLC/NXP
USA,
Inc.
1,342,000
2.700%, 
5/1/2025
1,274,511
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Technology
(3.6%)
-
continued
Oracle
Corporation
$
1,055,000
2.500%, 
4/1/2025
$
1,004,484
1,750,000
2.950%, 
5/15/2025
1,672,916
1,000,000
5.800%, 
11/10/2025
1,003,748
1,100,000
4.500%, 
5/6/2028
1,048,427
Panasonic
Corporation
1,000,000
2.679%, 
7/19/2024
a
973,768
Qorvo,
Inc.
2,300,000
4.375%, 
10/15/2029
2,022,705
Roper
Technologies,
Inc.
675,000
1.000%, 
9/15/2025
616,922
Seagate
HDD
Cayman
1,232,000
4.750%, 
1/1/2025
1,201,550
SK
Hynix,
Inc.
500,000
1.000%, 
1/19/2024
a
492,052
VeriSign,
Inc.
1,546,000
5.250%, 
4/1/2025
1,531,095
VMware,
Inc.
350,000
1.400%, 
8/15/2026
308,737
Western
Digital
Corporation
2,000,000
4.750%, 
2/15/2026
1,905,697
Total
27,871,451
Transportation
(1.4%)
British
Airways
plc
363,513
4.625%, 
6/20/2024
a
359,042
Canadian
Pacific
Railway
Company
1,000,000
1.350%, 
12/2/2024
948,024
Continental
Airlines,
Inc.
1,650,391
4.150%, 
4/11/2024
1,627,997
Delta
Air
Lines,
Inc.
1,000,000
7.000%, 
5/1/2025
a
1,010,856
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.
1,612,500
4.500%, 
10/20/2025
a
1,566,218
Mileage
Plus
Holdings,
LLC
750,000
6.500%, 
6/20/2027
a
743,101
Penske
Truck
Leasing
Company,
LP/PTL
Finance
Corporation
1,000,000
2.700%, 
11/1/2024
a
962,636
1,000,000
3.950%, 
3/10/2025
a
965,191
800,000
1.200%, 
11/15/2025
a
719,627
Southwest
Airlines
Company
350,000
5.250%, 
5/4/2025
345,939
TTX
Company
1,500,000
5.500%, 
9/25/2026
a
1,496,148
Total
10,744,779
U.S.
Government
&
Agencies
(7.8%)
U.S.
Treasury
Notes
2,070,000
4.250%, 
5/31/2025
2,039,274
45,525,000
3.500%, 
1/31/2028
43,446,144
8,500,000
4.000%, 
10/31/2029
8,206,816
6,900,000
3.500%, 
2/15/2033
6,330,750
Total
60,022,984
Utilities
(4.4%)
AES
Corporation
1,700,000
3.300%, 
7/15/2025
a
1,610,200
Alexander
Funding
Trust
2,500,000
1.841%, 
11/15/2023
a
2,483,473
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
189
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Utilities
(4.4%)
-
continued
Ameren
Corporation
$
250,000
2.500%, 
9/15/2024
$
241,796
American
Electric
Power
Company,
Inc.
2,000,000
5.699%, 
8/15/2025
1,989,749
1,075,000
1.000%, 
11/1/2025
974,108
Berkshire
Hathaway
Energy
Company
575,000
4.050%, 
4/15/2025
560,116
CenterPoint
Energy,
Inc.
900,000
5.250%, 
8/10/2026
888,424
Constellation
Energy
Generation,
LLC
1,100,000
5.600%, 
3/1/2028
1,092,528
Dominion
Energy,
Inc.
1,650,000
1.450%, 
4/15/2026
1,484,487
DTE
Energy
Company
750,000
2.529%, 
10/1/2024
723,588
750,000
4.220%, 
11/1/2024
736,016
Duke
Energy
Corporation
500,000
3.250%, 
1/15/2082
c
368,375
915,000
0.900%, 
9/15/2025
832,207
1,350,000
5.000%, 
12/8/2025
1,331,038
Enel
Finance
International
NV
1,000,000
6.800%, 
10/14/2025
a
1,011,640
Entergy
Corporation
870,000
0.900%, 
9/15/2025
789,897
Eversource
Energy
925,000
4.750%, 
5/15/2026
904,216
1,100,000
5.450%, 
3/1/2028
1,087,255
Exelon
Corporation
725,000
5.150%, 
3/15/2028
711,489
Georgia
Power
Company
1,100,000
4.650%, 
5/16/2028
1,061,208
Jersey
Central
Power
&
Light
Company
1,500,000
4.300%, 
1/15/2026
a
1,445,366
National
Rural
Utilities
Cooperative
Finance
Corporation
1,100,000
4.800%, 
3/15/2028
1,072,641
862,000
8.541%, 
(TSFR3M
+
3.172%),
4/30/2043
c
846,921
NextEra
Energy
Capital
Holdings,
Inc.
1,000,000
5.749%, 
9/1/2025
997,192
NiSource,
Inc.
920,000
0.950%, 
8/15/2025
839,044
Public
Service
Enterprise
Group,
Inc.
1,000,000
2.875%, 
6/15/2024
977,598
Sempra
1,750,000
3.300%, 
4/1/2025
1,682,174
Southern
California
Edison
Company
1,000,000
1.100%, 
4/1/2024
976,701
Southern
Company
900,000
4.000%, 
1/15/2051
c
832,484
750,000
3.750%, 
9/15/2051
c
654,148
Vistra
Operations
Company,
LLC
2,000,000
5.125%, 
5/13/2025
a
1,948,845
Principal
Amount
Long-Term
Fixed
Income
(98.6%)
Value
Utilities
(4.4%)
-
continued
WEC
Energy
Group,
Inc.
$
1,100,000
5.600%, 
9/12/2026
$
1,099,819
Total
34,254,743
Total
Long-Term
Fixed
Income
(cost
$802,871,619)
764,192,370
Shares
Collateral
Held
for
Securities
Loaned
(
0
.6
%
)
Value
4,285,375
Thrivent
Cash
Management
Trust
4,285,375
Total
Collateral
Held
for
Securities
Loaned
(cost
$4,285,375)
4,285,375
Shares
Preferred
Stock
(
0
.2
%
)
Value
Financials
(0.2%)
66,000
Citigroup
Capital
XIII,
12.001%
c
1,935,780
Total
1,935,780
Total
Preferred
Stock
(cost
$1,821,600)
1,935,780
Shares
or
Principal
Amount
Short-Term
Investments
(
0
.7
%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
5,605,000
5.179%,
10/2/2023
j
5,605,000
Total
Short-Term
Investments
(cost
$5,603,388)
5,605,000
Total
Investments
(cost
$814,581,982)
100.1%
$
776,018,525
Other
Assets
and
Liabilities,
Net
(0.1%)
(
1,095,168
)
Total
Net
Assets
100.0%
$
774,923,357
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$313,049,340
or
40.4%
of
total
net
assets.
b
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
29,
2023.
c
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
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.  
d
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
e
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
f
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
g
All
or
a
portion
of
the
security
is
on
loan.
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
190
h
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.
i
Defaulted
security.  Interest
is
not
being
accrued.
j
The
interest
rate
shown
reflects
the
yield.
*
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
Limited
Maturity
Bond
Portfolio
as
of
September
29,
2023
was
$94,050
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
September
29,
2023.
Security
Acquisition
Date
Cost
Credit
Suisse
Group
AG,
12/29/2049
12/4/2013
$
990,000
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Limited
Maturity
Bond
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
4,149,663
Total
lending
$4,149,663
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$4,285,375
Net
amounts
due
to
counterparty
$135,712
Definitions:
CLO
-
Collateralized
Loan
Obligation
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
Ser.
-
Series
Reference
Rate
Index:
CMT
1Y
-
Constant
Maturity
Treasury
Yield
1
Year
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
RFUCCT1Y
-
Refinitiv
USD
IBOR
Consumer
Cash
Fallbacks
Term
1
Year
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
191
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
136,545,583
134,045,583
2,500,000
Basic
Materials
11,770,851
11,770,851
Capital
Goods
17,160,745
17,160,745
Collateralized
Mortgage
Obligations
70,792,784
70,792,784
Commercial
Mortgage-Backed
Securities
5,865,874
5,865,874
Communications
Services
25,964,928
25,964,928
Consumer
Cyclical
42,255,482
42,255,482
Consumer
Non-Cyclical
41,193,461
41,193,461
Energy
34,967,473
34,967,473
Financials
242,878,182
242,878,182
Foreign
Government
1,848,530
1,848,530
Mortgage-Backed
Securities
54,520
54,520
Technology
27,871,451
27,871,451
Transportation
10,744,779
10,744,779
U.S.
Government
&
Agencies
60,022,984
60,022,984
Utilities
34,254,743
34,254,743
Preferred
Stock
Financials
1,935,780
1,935,780
Short-Term
Investments
5,605,000
5,605,000
Subtotal
Investments
in
Securities
$
771,733,150
$
1,935,780
$
767,297,370
$
2,500,000
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
4,285,375
Subtotal
Other
Investments
$
4,285,375
Total
Investments
at
Value
$
776,018,525
*
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
the
table
above
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
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
Limited
Maturity
Bond
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
$
2,812
$
29,413
$
27,940
$
4,285
4,285
0.6%
Total
Collateral
Held
for
Securities
Loaned
2,812
4,285
0.6
Total
Value
$
2,812
$
4,285
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
$–
$
$
35
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
35
Total
Value
$–
$–
$
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
192
Shares
Common
Stock
(
98.1%
)
Value
Communications
Services
(11.1%)
234
Alphabet,
Inc.,
Class
C
a
$
30,853
24,145
AT&T,
Inc.
362,658
8,465
BCE,
Inc.
323,144
219,000
CITIC
Telecom
International
Holdings,
Ltd.
86,597
9,688
Comcast
Corporation
429,566
20,475
Deutsche
Telekom
AG
429,500
5,400
KDDI
Corporation
165,297
10,141
Koninklijke
(Royal)
KPN
NV
33,411
15,400
Nintendo
Company,
Ltd.
639,916
71,600
Nippon
Television
Holdings,
Inc.
723,959
7,600
SKY
Perfect
JSAT
Holdings,
Inc.
35,538
37,000
SoftBank
Corporation
418,777
872
Swisscom
AG
517,785
46,842
Telefonica
Deutschland
Holding
AG
83,780
44,736
Telefonica
SA
182,762
30,969
Verizon
Communications,
Inc.
1,003,705
Total
5,467,248
Consumer
Discretionary
(4.5%)
144
Bayerische
Motoren
Werke
AG
14,626
1,340
Compass
Group
plc
32,618
28,714
Europris
ASA
b
160,076
22,200
Heiwa
Corporation
318,609
2,197
McDonald's
Corporation
578,778
5,900
McDonald's
Holdings
Company
(Japan),
Ltd.
225,435
574
O'Reilly
Automotive,
Inc.
a
521,686
12,900
Sekisui
House,
Ltd.
256,728
235
Ulta
Beauty,
Inc.
a
93,871
Total
2,202,427
Consumer
Staples
(13.5%)
1,160
Church
&
Dwight
Company,
Inc.
106,291
936
Clorox
Company
122,672
10,871
Coca-Cola
Company
608,559
1,551
Coles
Group,
Ltd.
15,480
11,571
Colgate-Palmolive
Company
822,814
18,922
Hormel
Foods
Corporation
719,604
2,905
J.M.
Smucker
Company
357,053
3,500
Japan
Tobacco,
Inc.
80,528
5,934
Kimberly-Clark
Corporation
717,124
13,639
Koninklijke
Ahold
Delhaize
NV
411,075
1,624
Kroger
Company
72,674
3
Lindt
&
Spruengli
AG
33,338
559
Loblaw
Companies,
Ltd.
47,494
11,497
Metro,
Inc./CN
597,091
9,903
Mondelez
International,
Inc.
687,268
42
Nestle
SA
4,754
4,023
PepsiCo,
Inc.
681,657
2,433
Procter
&
Gamble
Company
354,877
197,700
Sheng
Siong
Group,
Ltd.
219,705
Total
6,660,058
Energy
(2.5%)
150,500
Eneos
Holdings,
Inc.
592,389
15,229
Equinor
ASA
499,085
8,650
Galp
Energia
SGPS
SA
128,125
537
Repsol
SA
8,833
Total
1,228,432
Financials
(12.1%)
587
Aon
plc
190,317
601
Bank
Leumi
Le-Israel
BM
4,980
Shares
Common
Stock
(98.1%)
Value
Financials
(12.1%)
-
continued
1,225
Berkshire
Hathaway,
Inc.
a
$
429,118
245,000
BOC
Hong
Kong
(Holdings),
Ltd.
668,818
3,772
Cboe
Global
Markets,
Inc.
589,224
269
Chubb,
Ltd.
56,000
2,390
Cincinnati
Financial
Corporation
244,473
3,534
CME
Group,
Inc.
707,577
818
Deutsche
Boerse
AG
141,266
6,321
First
Horizon
Corporation
69,657
5,992
Hartford
Financial
Services
Group,
Inc.
424,893
2,493
Heritage
Financial
Corporation
40,661
1,750
Intercontinental
Exchange,
Inc.
192,535
33,900
Japan
Post
Bank
Company,
Ltd.
294,993
1,615
Marsh
&
McLennan
Companies,
Inc.
307,335
896
Mastercard,
Inc.
354,735
19,700
Matsui
Securities
Company,
Ltd.
108,223
100,827
Medibank
Private,
Ltd.
222,539
53,700
Mitsubishi
HC
Capital,
Inc.
357,807
10,388
Power
Corporation
of
Canada
264,470
1,580
Toronto-Dominion
Bank
95,190
953
Visa,
Inc.
219,200
Total
5,984,011
Health
Care
(20.6%)
341
Abbott
Laboratories
33,026
3,890
AbbVie,
Inc.
579,843
1,330
Agilent
Technologies,
Inc.
148,721
995
Amgen,
Inc.
267,416
110
Biogen,
Inc.
a
28,271
2,685
Boston
Scientific
Corporation
a
141,768
5,835
Centene
Corporation
a
401,915
933
CSL,
Ltd.
150,309
593
Eli
Lilly
&
Company
318,518
7,763
Galenica
AG
b
573,497
13,197
Gilead
Sciences,
Inc.
988,983
6,231
GSK
plc
112,743
281
Humana,
Inc.
136,712
1,009
Incyte
Corporation
a
58,290
7,839
Johnson
&
Johnson
1,220,924
2,700
Kaken
Pharmaceutical
Company,
Ltd.
63,136
527
Laboratorios
Farmaceuticos
ROVI
SA
28,524
1,250
Medtronic
plc
97,950
9,371
Merck
&
Company,
Inc.
964,744
1,593
Novartis
AG
162,691
9,244
Novo
Nordisk
AS
841,678
7,239
Pfizer,
Inc.
240,118
171
QIAGEN
NV
a
6,900
953
Quest
Diagnostics,
Inc.
116,132
275
Regeneron
Pharmaceuticals,
Inc.
a
226,314
2,559
Roche
Holding
AG,
Participation
Certificates
698,610
6,323
Sanofi
678,934
498
UnitedHealth
Group,
Inc.
251,087
1,717
Vertex
Pharmaceuticals,
Inc.
a
597,070
Total
10,134,824
Industrials
(10.1%)
2,567
AMETEK,
Inc.
379,300
1,035
Automatic
Data
Processing,
Inc.
249,000
399
BAE
Systems
plc
4,849
6,600
BellSystem24
Holdings,
Inc.
69,738
11,691
Brambles,
Ltd.
107,400
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
193
Shares
Common
Stock
(98.1%)
Value
Industrials
(10.1%)
-
continued
18,019
Cia
de
Distribucion
Integral
Logista
Holdings
SA
$
460,473
5,340
Computershare,
Ltd.
88,989
3,200
COMSYS
Holdings
Corporation
66,904
10,268
CSX
Corporation
315,741
22
Cummins,
Inc.
5,026
1,075
Eiffage
SA
102,036
3,548
Expeditors
International
of
Washington,
Inc.
406,707
1,168
Fastenal
Company
63,819
1,009
Honeywell
International,
Inc.
186,403
800
Jardine
Matheson
Holdings,
Ltd.
37,136
883
Lockheed
Martin
Corporation
361,112
11,300
Nikkon
Holdings
Company,
Ltd.
238,787
493
Paychex,
Inc.
56,858
2,190
Republic
Services,
Inc.
312,097
124
Schindler
Holding
AG,
Participation
Certificates
24,701
1,466
Thales
SA
206,036
1,995
Thomson
Reuters
Corporation
244,056
214
W.W.
Grainger,
Inc.
148,054
4,233
Waste
Management,
Inc.
645,279
1,751
Wolters
Kluwer
NV
212,003
Total
4,992,504
Information
Technology
(14.2%)
596
Accenture
plc
183,038
6,075
Akamai
Technologies,
Inc.
a
647,230
4,700
Amano
Corporation
103,153
595
Apple,
Inc.
101,870
838
Cadence
Design
Systems,
Inc.
a
196,343
3,300
Canon,
Inc.
79,492
1,687
Check
Point
Software
Technologies,
Ltd.
a
224,843
25,325
Cisco
Systems,
Inc.
1,361,472
869
F5,
Inc.
a
140,031
6,799
Hewlett
Packard
Enterprise
Company
118,099
4,126
Juniper
Networks,
Inc.
114,662
3,961
Keysight
Technologies,
Inc.
a
524,080
7,700
Kyocera
Corporation
390,373
2,192
Microsoft
Corporation
692,124
997
Motorola
Solutions,
Inc.
271,423
19,900
NEC
Networks
&
System
Integration
Corporation
261,293
44
Roper
Industries,
Inc.
21,308
3,083
TE
Connectivity,
Ltd.
380,843
3,313
Texas
Instruments,
Inc.
526,800
9,800
Venture
Corporation,
Ltd.
88,487
2,720
VeriSign,
Inc.
a
550,882
Total
6,977,846
Materials
(2.1%)
3,136
Franco-Nevada
Corporation
418,625
1,074
Heidelberg
Materials
AG
83,182
2,888
Holcim
AG
184,858
9,209
Newmont
Corporation
340,272
Total
1,026,937
Real
Estate
(0.3%)
181
Public
Storage
47,697
7,500
Swire
Pacific,
Ltd.
50,516
370
Swiss
Prime
Site
AG
33,873
Total
132,086
Shares
Common
Stock
(98.1%)
Value
Utilities
(7.1%)
7,953
American
Electric
Power
Company,
Inc.
$
598,225
7,709
ATCO,
Ltd.
195,244
1,000
CLP
Holdings,
Ltd.
7,384
1,003
Dominion
Energy,
Inc.
44,804
9,265
Duke
Energy
Corporation
817,729
2,693
E.ON
SE
31,847
2,704
Edison
International
171,136
9,900
Electric
Power
Development
Company,
Ltd.
159,860
9,968
Evergy,
Inc.
505,378
3,196
Fortis,
Inc.
121,393
30,000
Hong
Kong
and
China
Gas
Company,
Ltd.
20,874
77,942
Italgas
SPA
398,769
16,490
NiSource,
Inc.
406,973
162
Pinnacle
West
Capital
Corporation
11,936
851
Portland
General
Electric
Company
34,448
Total
3,526,000
Total
Common
Stock
(cost
$46,319,450)
48,332,373
Shares
Short-Term
Investments
(
1.6%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
77,830
5.650%
778,300
Total
Short-Term
Investments
(cost
$778,300)
778,300
Total
Investments
(cost
$47,097,750)
99.7%
$49,110,673
Other
Assets
and
Liabilities,
Net
0.3%
129,693
Total
Net
Assets
100.0%
$49,240,366
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$733,573
or
1.5%
of
total
net
assets.
Definitions:
plc
-
Public
Limited
Company
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
194
Reference
Description:
MSCI
-
Morgan
Stanley
Capital
International
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
5,467,248
1,826,782
3,640,466
Consumer
Discretionary
2,202,427
1,194,335
1,008,092
Consumer
Staples
6,660,058
5,250,593
1,409,465
Energy
1,228,432
1,228,432
Financials
5,984,011
3,825,725
2,158,286
Health
Care
10,134,824
6,817,802
3,317,022
Industrials
4,992,504
3,129,396
1,863,108
Information
Technology
6,977,846
6,055,048
922,798
Materials
1,026,937
758,897
268,040
Real
Estate
132,086
47,697
84,389
Utilities
3,526,000
2,590,629
935,371
Subtotal
Investments
in
Securities
$48,332,373
$31,496,904
$16,835,469
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
778,300
Subtotal
Other
Investments
$778,300
Total
Investments
at
Value
$49,110,673
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Low
Volatility
Equity
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
15,582
15,582
Total
Liability
Derivatives
$15,582
$15,582
$–
$–
The
following
table
presents
Low
Volatility
Equity
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$93,963
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
Eurex
MSCI
World
Index
7
December
2023
$
646,912
(
$
15,582)
Total
Futures
Long
Contracts
$
646,912
(
$
15,582)
Total
Futures
Contracts
$
646,912
($15,582)
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
195
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$274
$7,091
$6,587
$778
78
1.6%
Total
Affiliated
Short-Term
Investments
274
778
1.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1,865
1,865
Total
Collateral
Held
for
Securities
Loaned
Total
Value
$274
$778
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$23
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$23
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
4
Total
Affiliated
Income
from
Securities
Loaned,
Net
$4
Total
Value
$–
$–
$
Mid
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
196
Shares
Common
Stock
(
95
.0
%
)
Value
Communications
Services
(2.2%)
11,605
Trade
Desk,
Inc.
a
$
906,931
9,575
Ziff
Davis,
Inc.
a
609,831
Total
1,516,762
Consumer
Discretionary
(12.1%)
9,946
Aptiv
plc
a
980,576
719
Chipotle
Mexican
Grill,
Inc.
a
1,317,086
1,860
Deckers
Outdoor
Corporation
a
956,207
6,959
Five
Below,
Inc.
a
1,119,703
9,261
Fox
Factory
Holding
Corporation
a
917,580
2,086
Lululemon
Athletica,
Inc.
a
804,383
159
NVR,
Inc.
a
948,165
2,428
Pool
Corporation
864,611
8,495
Wyndham
Hotels
&
Resorts,
Inc.
590,742
Total
8,499,053
Consumer
Staples
(3.8%)
3,806
Casey's
General
Stores,
Inc.
1,033,405
5,200
Celsius
Holdings,
Inc.
a
892,320
4,403
Lancaster
Colony
Corporation
726,627
Total
2,652,352
Energy
(2.2%)
8,901
Matador
Resources
Company
529,432
50,524
TechnipFMC
plc
1,027,658
Total
1,557,090
Financials
(9.4%)
5,015
Arthur
J.
Gallagher
&
Company
1,143,069
3,280
Houlihan
Lokey,
Inc.
351,354
4,766
Kinsale
Capital
Group,
Inc.
1,973,743
2,580
MSCI,
Inc.
1,323,746
10,658
PayPal
Holdings,
Inc.
a
623,067
9,857
Tradeweb
Markets,
Inc.
790,531
9,778
Western
Alliance
Bancorp
449,495
Total
6,655,005
Health
Care
(17.8%)
4,700
Apellis
Pharmaceuticals,
Inc.
a
178,788
2,016
Argenx
SE
ADR
a
991,126
3,286
Ascendis
Pharma
AS
ADR
a
307,701
30,816
Avantor,
Inc.
a
649,601
16,176
Bio-Techne
Corporation
1,101,100
2,595
Cooper
Companies,
Inc.
825,236
9,890
Dexcom,
Inc.
a
922,737
11,327
Edwards
Lifesciences
Corporation
a
784,735
2,762
ICON
plc
a
680,142
6,080
Immunocore
Holdings
plc
ADR
a
315,552
50,430
Maravai
LifeSciences
Holdings,
Inc.
a
504,300
23,294
Progyny,
Inc.
a
792,462
44,234
R1
RCM,
Inc.
a
666,606
3,880
Repligen
Corporation
a
616,959
3,251
Sarepta
Therapeutics,
Inc.
a
394,086
4,280
ShockWave
Medical,
Inc.
a
852,148
6,004
Veeva
Systems,
Inc.
a
1,221,514
4,423
Zoetis,
Inc.
769,514
Total
12,574,307
Industrials
(16.2%)
8,762
Advanced
Drainage
Systems,
Inc.
997,378
8,746
ASGN,
Inc.
a
714,373
3,209
Carlisle
Companies,
Inc.
831,965
4,079
Chart
Industries,
Inc.
a
689,841
Shares
Common
Stock
(95.0%)
Value
Industrials
(16.2%)
-
continued
22,322
ExlService
Holdings,
Inc.
a
$
625,909
42,369
Howmet
Aerospace,
Inc.
1,959,566
5,800
Middleby
Corporation
a
742,400
2,482
Old
Dominion
Freight
Line,
Inc.
1,015,486
10,931
RB
Global,
Inc.
683,188
6,645
Regal
Rexnord
Corporation
949,438
1,045
Saia,
Inc.
a
416,589
14,401
TransUnion
1,033,848
18,236
WillScot
Mobile
Mini
Holdings
Corporation
a
758,435
Total
11,418,416
Information
Technology
(26.2%)
11,673
Amphenol
Corporation
980,415
5,346
Arista
Networks,
Inc.
a
983,290
20,313
Calix,
Inc.
a
931,148
17,169
Cognex
Corporation
728,652
19,302
Dynatrace
Holdings,
LLC
a
901,983
8,173
Entegris,
Inc.
767,526
2,542
EPAM
Systems,
Inc.
a
649,964
6,330
Five9,
Inc.
a
407,019
9,933
Guidewire
Software,
Inc.
a
893,970
1,850
HubSpot,
Inc.
a
911,125
1,069
Lam
Research
Corporation
670,017
9,949
Lattice
Semiconductor
Corporation
a
854,918
2,054
Monolithic
Power
Systems,
Inc.
948,948
7,440
Palo
Alto
Networks,
Inc.
a
1,744,234
8,580
PTC,
Inc.
a
1,215,614
21,322
Sprout
Social,
Inc.
a
1,063,541
3,685
Synopsys,
Inc.
a
1,691,304
3,396
Tyler
Technologies,
Inc.
a
1,311,331
2,648
Universal
Display
Corporation
415,710
10,905
Wolfspeed,
Inc.
a
415,481
Total
18,486,190
Materials
(2.7%)
1,896
Martin
Marietta
Materials,
Inc.
778,270
12,243
RPM
International,
Inc.
1,160,759
Total
1,939,029
Real
Estate
(2.4%)
7,424
CBRE
Group,
Inc.
a
548,336
8,104
Regency
Centers
Corporation
481,702
3,323
SBA
Communications
Corporation
665,165
Total
1,695,203
Total
Common
Stock
(cost
$61,259,028)
66,993,407
Shares
Registered
Investment
Companies
(
1
.9
%
)
Value
U.S.
Unaffiliated  (1.9%)
9,161
Communication
Services
Select
Sector
SPDR
Fund
600,687
7,268
SPDR
S&P
Biotech
ETF
b
530,709
1,416
SPDR
S&P
Oil
&
Gas
Exploration
ETF
209,441
Total
1,340,837
Total
Registered
Investment
Companies
(cost
$1,238,825)
1,340,837
Mid
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
197
Shares
Collateral
Held
for
Securities
Loaned
(
0
.4
%
)
Value
293,475
Thrivent
Cash
Management
Trust
$
293,475
Total
Collateral
Held
for
Securities
Loaned
(cost
$293,475)
293,475
Shares
Short-Term
Investments
(
2
.9
%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
201,786
5.650%
2,017,863
Total
Short-Term
Investments
(cost
$2,017,863)
2,017,863
Total
Investments
(cost
$64,809,191)
100.2%
$
70,645,582
Other
Assets
and
Liabilities,
Net
(0.2%)
(
112,282
)
Total
Net
Assets
100.0%
$
70,533,300
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
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
284,778
Total
lending
$284,778
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$293,475
Net
amounts
due
to
counterparty
$8,697
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
plc
-
Public
Limited
Company
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
1,516,762
1,516,762
Consumer
Discretionary
8,499,053
8,499,053
Consumer
Staples
2,652,352
2,652,352
Energy
1,557,090
1,557,090
Financials
6,655,005
6,655,005
Health
Care
12,574,307
12,574,307
Industrials
11,418,416
11,418,416
Information
Technology
18,486,190
18,486,190
Materials
1,939,029
1,939,029
Real
Estate
1,695,203
1,695,203
Registered
Investment
Companies
U.S.
Unaffiliated
1,340,837
1,340,837
Subtotal
Investments
in
Securities
$
68,334,244
$
68,334,244
$
$
Other
Investments  *
Total
Affiliated
Short-Term
Investments
2,017,863
Collateral
Held
for
Securities
Loaned
293,475
Subtotal
Other
Investments
$
2,311,338
Total
Investments
at
Value
$
70,645,582
*
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
the
table
above
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
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
198
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
2,063
$
17,028
$
17,073
$
2,018
202
2.9%
Total
Affiliated
Short-Term
Investments
2,063
2,018
2.9
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
14,905
14,612
293
293
0.4
Total
Collateral
Held
for
Securities
Loaned
293
0.4
Total
Value
$
2,063
$
2,311
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$
59
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
59
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
5
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
5
Total
Value
$–
$–
$
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
199
Shares
Common
Stock
(
98.5%
)
Value
Communications
Services
(1.7%)
1,140
Cable
One,
Inc.
$
701,829
55,383
Frontier
Communications
Parent,
Inc.
a
866,744
31,312
Iridium
Communications,
Inc.
1,424,383
40,954
New
York
Times
Company
1,687,305
8,345
Nexstar
Media
Group,
Inc.
1,196,423
50,460
TEGNA,
Inc.
735,202
13,112
TKO
Group
Holdings,
Inc.
1,102,195
11,639
Ziff
Davis,
Inc.
a
741,288
76,399
ZoomInfo
Technologies,
Inc.
a
1,252,943
Total
9,708,312
Consumer
Discretionary
(14.3%)
23,451
Adient
plc
a
860,652
65,365
Aramark
2,268,166
19,026
Autoliv,
Inc.
1,835,629
6,728
AutoNation,
Inc.
a
1,018,619
17,780
Boyd
Gaming
Corporation
1,081,558
17,486
Brunswick
Corporation
1,381,394
29,062
Capri
Holdings,
Ltd.
a
1,528,952
9,329
Carter's,
Inc.
645,100
6,304
Choice
Hotels
International,
Inc.
b
772,303
17,059
Churchill
Downs,
Inc.
a
1,979,526
8,753
Columbia
Sportswear
Company
648,597
15,435
Crocs,
Inc.
a
1,361,830
6,544
Deckers
Outdoor
Corporation
a
3,364,205
15,690
Dick's
Sporting
Goods,
Inc.
1,703,620
13,938
Five
Below,
Inc.
a
2,242,624
10,609
Fox
Factory
Holding
Corporation
a
1,051,140
67,151
GameStop
Corporation
a,b
1,105,306
53,452
Gap,
Inc.
568,195
58,451
Gentex
Corporation
1,901,996
70,981
Goodyear
Tire
&
Rubber
Company
a
882,294
923
Graham
Holdings
Company
538,109
7,467
Grand
Canyon
Education,
Inc.
a
872,743
38,131
H&R
Block,
Inc.
1,641,921
32,284
Harley-Davidson,
Inc.
1,067,309
6,034
Helen
of
Troy,
Ltd.
a
703,323
18,186
Hilton
Grand
Vacations,
Inc.
a
740,170
19,458
KB
Home
900,516
27,691
Kohl's
Corporation
580,403
14,710
Lear
Corporation
1,974,082
33,351
Leggett
&
Platt,
Inc.
847,449
22,815
Light
and
Wonder,
Inc.
a
1,627,394
6,901
Lithia
Motors,
Inc.
2,038,072
68,240
Macy's,
Inc.
792,267
8,492
Marriott
Vacations
Worldwide
Corporation
854,550
88,674
Mattel,
Inc.
a
1,953,488
4,888
Murphy
USA,
Inc.
1,670,376
24,262
Nordstrom,
Inc.
b
362,474
15,474
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
1,194,283
37,819
PENN
Entertainment,
Inc.
a
867,946
4,887
Penske
Automotive
Group,
Inc.
816,422
21,173
Planet
Fitness,
Inc.
a
1,041,288
13,343
Polaris,
Inc.
1,389,540
15,704
PVH
Corporation
1,201,513
3,869
RH
a
1,022,809
37,774
Service
Corporation
International
2,158,406
33,645
Skechers
USA,
Inc.
a
1,646,923
27,405
Taylor
Morrison
Home
Corporation
a
1,167,727
43,107
Tempur
Sealy
International,
Inc.
1,868,257
16,713
Texas
Roadhouse,
Inc.
1,606,119
Shares
Common
Stock
(98.5%)
Value
Consumer
Discretionary
(14.3%)
-
continued
13,348
Thor
Industries,
Inc.
$
1,269,795
27,378
Toll
Brothers,
Inc.
2,024,877
7,952
TopBuild
Corporation
a
2,000,723
35,785
Topgolf
Callaway
Brands
Corporation
a
495,265
18,510
Travel
+
Leisure
Company
679,872
47,250
Under
Armour,
Inc.,
Class
A
a
323,663
50,070
Under
Armour,
Inc.,
Class
C
a
319,447
9,654
Vail
Resorts,
Inc.
2,142,126
34,720
Valvoline,
Inc.
1,119,373
7,061
Visteon
Corporation
a
974,912
42,447
Wendy's
Company
866,343
16,081
Williams-Sonoma,
Inc.
2,498,988
7,506
Wingstop,
Inc.
1,349,879
21,097
Wyndham
Hotels
&
Resorts,
Inc.
1,467,085
21,718
YETI
Holdings,
Inc.
a
1,047,242
Total
81,927,175
Consumer
Staples
(4.2%)
32,913
BellRing
Brands,
Inc.
a
1,357,003
33,645
BJ's
Wholesale
Club
Holdings,
Inc.
a
2,401,244
2,367
Boston
Beer
Company,
Inc.
a
922,018
9,362
Casey's
General
Stores,
Inc.
2,541,970
12,322
Celsius
Holdings,
Inc.
a
2,114,455
1,174
Coca-Cola
Consolidated,
Inc.
747,040
89,684
Coty,
Inc.
a
983,833
39,935
Darling
Ingredients,
Inc.
a
2,084,607
48,151
Flowers
Foods,
Inc.
1,067,989
24,733
Grocery
Outlet
Holding
Corporation
a
713,547
16,561
Ingredion,
Inc.
1,629,602
5,100
Lancaster
Colony
Corporation
841,653
39,098
Performance
Food
Group
Company
a
2,301,308
10,079
Pilgrim's
Pride
Corporation
a
230,104
12,723
Post
Holdings,
Inc.
a
1,090,870
25,542
Sprouts
Farmers
Markets,
Inc.
a
1,093,198
56,877
US
Foods
Holding
Corporation
a
2,258,017
Total
24,378,458
Energy
(5.8%)
85,277
Antero
Midstream
Corporation
1,021,618
70,701
Antero
Resources
Corporation
a
1,794,391
49,223
ChampionX
Corporation
1,753,323
28,170
Chesapeake
Energy
Corporation
2,429,099
10,399
Chord
Energy
Corporation
1,685,366
21,364
Civitas
Resources,
Inc.
1,727,707
40,430
CNX
Resources
Corporation
a
912,909
24,264
DT
Midstream,
Inc.
1,284,051
108,485
Equitrans
Midstream
Corporation
1,016,504
36,419
HF
Sinclair
Corporation
2,073,334
27,745
Matador
Resources
Company
1,650,273
37,145
Murphy
Oil
Corporation
1,684,526
98,599
NOV,
Inc.
2,060,719
63,539
Ovintiv,
Inc.
3,022,550
27,543
PBF
Energy,
Inc.
1,474,377
69,528
Permian
Resources
Corporation
970,611
60,433
Range
Resources
Corporation
1,958,634
275,799
Southwestern
Energy
Company
a
1,778,904
15,932
Valaris,
Ltd.
a
1,194,581
18,047
Weatherford
International
plc
a
1,630,185
Total
33,123,662
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
200
Shares
Common
Stock
(98.5%)
Value
Financials
(14.6%)
8,776
Affiliated
Managers
Group,
Inc.
$
1,143,864
67,971
Ally
Financial,
Inc.
1,813,466
16,574
American
Financial
Group,
Inc.
1,850,819
123,671
Annaly
Capital
Management,
Inc.
2,326,251
37,790
Associated
Banc-Corp
646,587
26,348
Bank
OZK
976,720
16,401
Brighthouse
Financial,
Inc.
a
802,665
45,727
Cadence
Bank
970,327
28,294
CNO
Financial
Group,
Inc.
671,417
52,225
Columbia
Banking
System,
Inc.
1,060,167
28,414
Commerce
Bancshares,
Inc.
1,363,304
16,056
Cullen/Frost
Bankers,
Inc.
1,464,468
35,427
East
West
Bancorp,
Inc.
1,867,357
6,245
Erie
Indemnity
Company
1,834,719
26,789
Essent
Group,
Ltd.
1,266,852
11,813
Euronet
Worldwide,
Inc.
a
937,716
8,728
Evercore,
Inc.
1,203,417
89,846
F.N.B.
Corporation
969,438
22,106
Federated
Hermes,
Inc.
748,730
64,743
Fidelity
National
Financial,
Inc.
2,673,886
25,812
First
American
Financial
Corporation
1,458,120
32,167
First
Financial
Bankshares,
Inc.
808,035
139,895
First
Horizon
Corporation
1,541,643
9,262
FirstCash
Holdings,
Inc.
929,720
27,762
Glacier
Bancorp,
Inc.
791,217
21,565
Hancock
Whitney
Corporation
797,689
8,953
Hanover
Insurance
Group,
Inc.
993,604
47,174
Home
BancShares,
Inc.
987,824
26,785
Interactive
Brokers
Group,
Inc.
2,318,510
13,362
International
Bancshares
Corporation
579,109
33,184
Janus
Henderson
Group
plc
856,811
44,253
Jefferies
Financial
Group,
Inc.
1,620,987
15,077
Kemper
Corporation
633,686
5,510
Kinsale
Capital
Group,
Inc.
2,281,856
70,691
MGIC
Investment
Corporation
1,179,833
6,515
Morningstar,
Inc.
1,526,074
180,809
New
York
Community
Bancorp,
Inc.
2,050,374
73,262
Old
National
Bancorp
1,065,229
66,284
Old
Republic
International
Corporation
1,785,691
19,220
Pinnacle
Financial
Partners,
Inc.
1,288,509
8,956
Primerica,
Inc.
1,737,554
23,467
Prosperity
Bancshares,
Inc.
1,280,829
16,579
Reinsurance
Group
of
America,
Inc.
2,407,105
12,816
RenaissanceRe
Holdings,
Ltd.
2,536,543
10,047
RLI
Corporation
1,365,287
25,188
SEI
Investments
Company
1,517,073
15,166
Selective
Insurance
Group,
Inc.
1,564,676
56,609
SLM
Corporation
771,015
19,031
SouthState
Corporation
1,281,928
74,401
Starwood
Property
Trust,
Inc.
1,439,659
26,153
Stifel
Financial
Corporation
1,606,840
36,599
Synovus
Financial
Corporation
1,017,452
12,019
Texas
Capital
Bancshares,
Inc.
a
707,919
10,934
UMB
Financial
Corporation
678,455
33,787
United
Bankshares,
Inc.
932,183
46,044
Unum
Group
2,264,904
106,771
Valley
National
Bancorp
913,960
26,487
Voya
Financial,
Inc.
1,760,061
43,382
Webster
Financial
Corporation
1,748,728
93,781
Western
Union
Company
1,236,034
Shares
Common
Stock
(98.5%)
Value
Financials
(14.6%)
-
continued
10,755
WEX,
Inc.
a
$
2,022,908
15,327
Wintrust
Financial
Corporation
1,157,188
Total
84,034,992
Health
Care
(8.2%)
23,079
Acadia
Healthcare
Company,
Inc.
a
1,622,684
8,171
Amedisys,
Inc.
a
763,171
26,840
Arrowhead
Research
Corporation
a
721,191
15,062
Azenta,
Inc.
a
755,962
24,637
Bruker
Corporation
1,534,885
3,775
Chemed
Corporation
1,961,868
31,428
Doximity,
Inc.
a
666,902
25,097
Encompass
Health
Corporation
1,685,515
12,427
Enovis
Corporation
a
655,276
41,020
Envista
Holdings
Corporation
a
1,143,638
79,720
Exelixis,
Inc.
a
1,741,882
29,388
Globus
Medical,
Inc.
a
1,459,114
12,698
Haemonetics
Corporation
a
1,137,487
33,032
Halozyme
Therapeutics,
Inc.
a
1,261,822
21,401
HealthEquity,
Inc.
a
1,563,343
5,077
ICU
Medical,
Inc.
a
604,214
12,781
Inari
Medical,
Inc.
a
835,877
17,733
Integra
LifeSciences
Holdings
Corporation
a
677,223
15,809
Jazz
Pharmaceuticals,
Inc.
a
2,046,317
17,135
Lantheus
Holdings,
Inc.
a
1,190,540
13,492
LivaNova
plc
a
713,457
11,109
Masimo
Corporation
a
974,037
5,816
Medpace
Holdings,
Inc.
a
1,408,228
49,273
Neogen
Corporation
a
913,521
24,451
Neurocrine
Biosciences,
Inc.
a
2,750,738
45,040
Option
Care
Health,
Inc.
a
1,457,044
21,308
Patterson
Companies,
Inc.
631,569
9,624
Penumbra,
Inc.
a
2,328,142
33,902
Perrigo
Company
plc
1,083,169
20,783
Progyny,
Inc.
a
707,038
12,376
QuidelOrtho
Corporation
a
903,943
49,305
R1
RCM,
Inc.
a
743,026
12,984
Repligen
Corporation
a
2,064,586
9,202
ShockWave
Medical,
Inc.
a
1,832,118
24,768
Sotera
Health
Company
a
371,025
25,424
Tenet
Healthcare
Corporation
a
1,675,187
11,752
United
Therapeutics
Corporation
a
2,654,424
Total
47,240,163
Industrials
(21.9%)
7,810
Acuity
Brands,
Inc.
1,330,121
17,339
Advanced
Drainage
Systems,
Inc.
1,973,698
34,736
AECOM
2,884,477
15,562
AGCO
Corporation
1,840,673
12,119
ASGN,
Inc.
a
989,880
4,947
Avis
Budget
Group,
Inc.
a
888,926
11,625
Brink's
Company
844,440
31,308
Builders
FirstSource,
Inc.
a
3,897,533
22,902
BWX
Technologies,
Inc.
1,717,192
5,709
CACI
International,
Inc.
a
1,792,226
12,499
Carlisle
Companies,
Inc.
3,240,491
10,510
Chart
Industries,
Inc.
a
1,777,451
12,610
Clean
Harbors,
Inc.
a
2,110,410
10,818
Concentrix
Corporation
866,630
12,225
Crane
Company
1,086,069
9,591
Curtiss-Wright
Corporation
1,876,287
30,358
Donaldson
Company,
Inc.
1,810,551
11,802
EMCOR
Group,
Inc.
2,483,023
10,276
EnerSys
972,829
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
201
Shares
Common
Stock
(98.5%)
Value
Industrials
(21.9%)
-
continued
14,183
ESAB
Corporation
$
995,930
41,496
ExlService
Holdings,
Inc.
a
1,163,548
12,732
Exponent,
Inc.
1,089,859
32,853
Flowserve
Corporation
1,306,564
35,898
Fluor
Corporation
a
1,317,457
31,773
Fortune
Brands
Innovations,
Inc.
1,975,010
8,521
FTI
Consulting,
Inc.
a
1,520,232
8,864
GATX
Corporation
964,669
41,769
Genpact,
Ltd.
1,512,038
42,315
Graco,
Inc.
3,083,917
29,781
GXO
Logistics,
Inc.
a
1,746,656
33,513
Hertz
Global
Holdings,
Inc.
a
410,534
21,150
Hexcel
Corporation
1,377,711
13,429
Hubbell,
Inc.
4,208,783
9,073
Insperity,
Inc.
885,525
20,557
ITT
Corporation
2,012,736
33,782
KBR,
Inc.
1,991,111
14,898
Kirby
Corporation
a
1,233,554
40,387
Knight-Swift
Transportation
Holdings,
Inc.
2,025,408
9,001
Landstar
System,
Inc.
1,592,637
8,003
Lennox
International,
Inc.
2,996,643
14,376
Lincoln
Electric
Holdings,
Inc.
2,613,413
12,415
ManpowerGroup,
Inc.
910,268
15,135
MasTec,
Inc.
a
1,089,266
15,220
Maximus,
Inc.
1,136,630
50,990
MDU
Resources
Group,
Inc.
998,384
13,422
Middleby
Corporation
a
1,718,016
9,250
MSA
Safety,
Inc.
1,458,263
11,868
MSC
Industrial
Direct
Company,
Inc.
1,164,844
41,509
nVent
Electric
plc
2,199,562
16,351
Oshkosh
Corporation
1,560,376
22,494
Owens
Corning,
Inc.
3,068,407
10,782
Paylocity
Holding
Corporation
a
1,959,089
7,275
RBC
Bearings,
Inc.
a
1,703,296
16,604
Regal
Rexnord
Corporation
2,372,380
11,400
Ryder
System,
Inc.
1,219,230
6,644
Saia,
Inc.
a
2,648,631
13,442
Science
Applications
International
Corporation
1,418,669
38,165
Sensata
Technologies
Holding
plc
1,443,400
10,685
Simpson
Manufacturing
Company,
Inc.
1,600,720
23,167
Stericycle,
Inc.
a
1,035,797
54,381
Sunrun,
Inc.
a
683,025
16,876
Terex
Corporation
972,395
13,332
Tetra
Tech,
Inc.
2,026,864
16,365
Timken
Company
1,202,664
26,017
Toro
Company
2,162,013
27,183
Trex
Company,
Inc.
a
1,675,288
15,491
UFP
Industries,
Inc.
1,586,278
5,262
Valmont
Industries,
Inc.
1,263,985
5,617
Vicor
Corporation
a
330,785
8,398
Watsco,
Inc.
3,172,093
6,856
Watts
Water
Technologies,
Inc.
1,184,854
15,872
Werner
Enterprises,
Inc.
618,214
11,067
WESCO
International,
Inc.
1,591,656
15,128
Woodward,
Inc.
1,879,805
29,037
XPO,
Inc.
a
2,167,902
Total
125,629,891
Information
Technology
(10.5%)
27,191
ACI
Worldwide,
Inc.
a
613,429
17,823
Allegro
MicroSystems,
Inc.
a
569,267
Shares
Common
Stock
(98.5%)
Value
Information
Technology
(10.5%)
-
continued
25,842
Amkor
Technology,
Inc.
$
584,029
13,938
Arrow
Electronics,
Inc.
a
1,745,595
7,102
Aspen
Technology,
Inc.
a
1,450,655
22,886
Avnet,
Inc.
1,102,876
10,591
Belden,
Inc.
1,022,561
10,788
Blackbaud,
Inc.
a
758,612
14,779
Calix,
Inc.
a
677,469
37,433
Ciena
Corporation
a
1,769,084
13,699
Cirrus
Logic,
Inc.
a
1,013,178
43,141
Cognex
Corporation
1,830,904
32,584
Coherent
Corporation
a
1,063,542
10,986
CommVault
Systems,
Inc.
a
742,763
12,088
Crane
NXT
Company
671,730
14,912
Dolby
Laboratories,
Inc.
1,181,925
64,570
Dropbox,
Inc.
a
1,758,241
59,485
Dynatrace
Holdings,
LLC
a
2,779,734
12,426
Envestnet,
Inc.
a
547,117
36,761
GoDaddy,
Inc.
a
2,737,959
7,472
IPG
Photonics
Corporation
a
758,707
32,772
Jabil,
Inc.
4,158,439
57,313
Kyndryl
Holdings,
Inc.
a
865,426
34,513
Lattice
Semiconductor
Corporation
a
2,965,702
6,233
Littelfuse,
Inc.
1,541,546
17,202
Lumentum
Holdings,
Inc.
a
777,186
13,509
MACOM
Technology
Solutions
Holdings,
Inc.
a
1,102,064
15,441
Manhattan
Associates,
Inc.
a
3,052,068
15,738
MKS
Instruments,
Inc.
1,361,967
32,926
National
Instruments
Corporation
1,963,048
33,516
NCR
Corporation
a
903,927
8,966
Novanta,
Inc.
a
1,286,083
14,371
Power
Integrations,
Inc.
1,096,651
9,192
Qualys,
Inc.
a
1,402,240
7,979
Silicon
Laboratories,
Inc.
a
924,686
11,434
Super
Micro
Computer,
Inc.
a
3,135,431
9,897
Synaptics,
Inc.
a
885,188
11,972
TD
SYNNEX
Corporation
1,195,524
25,014
Teradata
Corporation
a
1,126,130
10,907
Universal
Display
Corporation
1,712,290
31,787
Vishay
Intertechnology,
Inc.
785,775
38,745
Vontier
Corporation
1,197,995
31,167
Wolfspeed,
Inc.
a
1,187,463
Total
60,006,206
Materials
(6.9%)
44,683
Alcoa
Corporation
1,298,488
16,435
AptarGroup,
Inc.
2,055,032
12,830
Ashland,
Inc.
1,047,954
22,806
Avient
Corporation
805,508
55,513
Axalta
Coating
Systems,
Ltd.
a
1,493,300
29,571
Berry
Plastics
Group,
Inc.
1,830,741
14,006
Cabot
Corporation
970,196
37,077
Chemours
Company
1,040,010
127,370
Cleveland-Cliffs,
Inc.
a
1,990,793
29,242
Commercial
Metals
Company
1,444,847
30,210
Crown
Holdings,
Inc.
2,672,981
8,872
Eagle
Materials,
Inc.
1,477,365
76,923
Graphic
Packaging
Holding
Company
1,713,844
6,378
Greif,
Inc.
426,114
12,747
Knife
River
Corporation
a
622,436
16,069
Louisiana-Pacific
Corporation
888,134
36,030
MP
Materials
Corporation
a
688,173
1,729
NewMarket
Corporation
786,764
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
202
Shares
Common
Stock
(98.5%)
Value
Materials
(6.9%)
-
continued
31,506
Olin
Corporation
$
1,574,670
14,662
Reliance
Steel
&
Aluminum
Company
3,844,816
16,448
Royal
Gold,
Inc.
1,748,916
32,314
RPM
International,
Inc.
3,063,690
10,405
Scotts
Miracle-Gro
Company
537,730
20,923
Silgan
Holdings,
Inc.
901,991
24,527
Sonoco
Products
Company
1,333,043
55,829
United
States
Steel
Corporation
1,813,326
7,993
Westlake
Corporation
996,487
7,628
Worthington
Industries,
Inc.
471,563
Total
39,538,912
Real
Estate
(7.1%)
24,105
Agree
Realty
Corporation
1,331,560
37,365
Apartment
Income
REIT
Corporation
1,147,106
75,266
Brixmor
Property
Group,
Inc.
1,564,028
28,178
COPT
Defense
Properties
671,482
38,003
Cousins
Properties,
Inc.
774,121
56,291
CubeSmart
2,146,376
11,368
EastGroup
Properties,
Inc.
1,893,113
18,861
EPR
Properties
783,486
46,642
Equity
Lifestyle
Properties,
Inc.
2,971,562
33,115
First
Industrial
Realty
Trust,
Inc.
1,575,943
65,763
Gaming
and
Leisure
Properties,
Inc.
2,995,505
95,364
Healthcare
Realty
Trust,
Inc.
1,456,208
56,192
Independence
Realty
Trust,
Inc.
790,621
11,939
Jones
Lang
LaSalle,
Inc.
a
1,685,548
26,700
Kilroy
Realty
Corporation
843,987
54,929
Kite
Realty
Group
Trust
1,176,579
21,919
Lamar
Advertising
Company
1,829,579
149,835
Medical
Properties
Trust,
Inc.
816,601
20,780
National
Storage
Affiliates
Trust
659,557
45,674
NNN
REIT,
Inc.
1,614,119
61,314
Omega
Healthcare
Investors,
Inc.
2,033,172
54,018
Park
Hotels
&
Resorts,
Inc.
665,502
59,707
Physicians
Realty
Trust
727,828
20,009
PotlatchDeltic
Corporation
908,209
34,155
Rayonier,
Inc.
REIT
972,051
51,692
Rexford
Industrial
Realty,
Inc.
2,551,000
57,896
Sabra
Health
Care
REIT,
Inc.
807,070
35,388
Spirit
Realty
Capital,
Inc.
1,186,560
44,987
STAG
Industrial,
Inc.
1,552,501
40,077
Vornado
Realty
Trust
908,946
Total
41,039,920
Utilities
(3.3%)
14,372
ALLETE,
Inc.
758,842
16,804
Black
Hills
Corporation
850,114
60,932
Essential
Utilities,
Inc.
2,091,796
12,674
IDACORP,
Inc.
1,186,920
22,991
National
Fuel
Gas
Company
1,193,463
24,429
New
Jersey
Resources
Corporation
992,550
15,034
NorthWestern
Corporation
722,534
50,150
OGE
Energy
Corporation
1,671,499
13,884
ONE
Gas,
Inc.
948,000
13,429
Ormat
Technologies,
Inc.
938,956
21,492
PNM
Resources,
Inc.
958,758
25,313
Portland
General
Electric
Company
1,024,670
15,034
Southwest
Gas
Holdings,
Inc.
908,204
13,171
Spire,
Inc.
745,215
Shares
Common
Stock
(98.5%)
Value
Utilities
(3.3%)
-
continued
52,452
UGI
Corporation
$
1,206,396
86,515
Vistra
Energy
Corporation
2,870,568
Total
19,068,485
Total
Common
Stock
(cost
$440,264,726)
565,696,176
Shares
Collateral
Held
for
Securities
Loaned
(
0.4%
)
Value
2,187,225
Thrivent
Cash
Management
Trust
2,187,225
Total
Collateral
Held
for
Securities
Loaned
(cost
$2,187,225)
2,187,225
Shares
or
Principal
Amount
Short-Term
Investments
(
1.7%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
300,000
5.320%,
11/17/2023
c,d
298,039
400,000
5.315%,
12/15/2023
c,d
395,792
Thrivent
Core
Short-Term
Reserve
Fund
898,683
5.650%
8,986,830
Total
Short-Term
Investments
(cost
$9,680,213)
9,680,661
Total
Investments
(cost
$452,132,164)
100.6%
$577,564,062
Other
Assets
and
Liabilities,
Net
(0.6%)
(3,486,952)
Total
Net
Assets
100.0%
$574,077,110
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
The
interest
rate
shown
reflects
the
yield.
d
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Mid
Cap
Index
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
2,114,931
Total
lending
$2,114,931
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$2,187,225
Net
amounts
due
to
counterparty
$72,294
Definitions:
plc
-
Public
Limited
Company
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
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
203
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
September
29,
2023,
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
9,708,312
9,708,312
Consumer
Discretionary
81,927,175
81,927,175
Consumer
Staples
24,378,458
24,378,458
Energy
33,123,662
33,123,662
Financials
84,034,992
84,034,992
Health
Care
47,240,163
47,240,163
Industrials
125,629,891
125,629,891
Information
Technology
60,006,206
60,006,206
Materials
39,538,912
39,538,912
Real
Estate
41,039,920
41,039,920
Utilities
19,068,485
19,068,485
Short-Term
Investments
693,831
693,831
Subtotal
Investments
in
Securities
$566,390,007
$565,696,176
$693,831
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
8,986,830
Collateral
Held
for
Securities
Loaned
2,187,225
Subtotal
Other
Investments
$11,174,055
Total
Investments
at
Value
$577,564,062
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Mid
Cap
Index
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
279,237
279,237
Total
Liability
Derivatives
$279,237
$279,237
$–
$–
The
following
table
presents
Mid
Cap
Index
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$693,831
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CME
E-mini
S&P
Mid-Cap
400
Index
33
December
2023
$
8,596,557
(
$
279,237)
Total
Futures
Long
Contracts
$
8,596,557
(
$
279,237)
Total
Futures
Contracts
$
8,596,557
($279,237)
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
204
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
9,848
$32,188
$33,049
$8,987
899
1.6%
Total
Affiliated
Short-Term
Investments
9,848
8,987
1.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
3,196
39,812
40,821
2,187
2,187
0.4
Total
Collateral
Held
for
Securities
Loaned
3,196
2,187
0.4
Total
Value
$13,044
$11,174
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$425
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$425
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
75
Total
Affiliated
Income
from
Securities
Loaned,
Net
$75
Total
Value
$–
$–
$
Mid
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
205
Shares
Common
Stock
(
98.5%
)
Value
Communications
Services
(0.8%)
3,116,531
DISH
Network
Corporation
a
$
18,262,872
Total
18,262,872
Consumer
Discretionary
(13.2%)
251,422
Aptiv
plc
a
24,787,695
29,430
Chipotle
Mexican
Grill,
Inc.
a
53,910,757
434,272
Crocs,
Inc.
a
38,315,818
73,302
Domino's
Pizza,
Inc.
27,766,065
82,206
Lululemon
Athletica,
Inc.
a
31,699,456
12,405
NVR,
Inc.
a
73,974,736
492,065
Skyline
Champion
Corporation
a
31,354,382
Total
281,808,909
Consumer
Staples
(4.5%)
385,516
BJ's
Wholesale
Club
Holdings,
Inc.
a
27,514,277
159,336
Casey's
General
Stores,
Inc.
43,262,911
499,452
Tyson
Foods,
Inc.
25,217,331
Total
95,994,519
Energy
(5.1%)
491,575
Chesapeake
Energy
Corporation
42,388,512
760,362
Devon
Energy
Corporation
36,269,267
1,457,593
NOV,
Inc.
30,463,694
Total
109,121,473
Financials
(16.6%)
1,094,510
Ally
Financial,
Inc.
29,201,527
101,306
Ameriprise
Financial,
Inc.
33,398,562
897,897
Arch
Capital
Group,
Ltd.
a
71,571,370
235,352
Kinsale
Capital
Group,
Inc.
97,466,324
974,436
Radian
Group,
Inc.
24,468,088
523,276
Voya
Financial,
Inc.
34,771,690
673,512
Western
Alliance
Bancorp
30,961,346
969,754
Zions
Bancorp
NA
33,834,717
Total
355,673,624
Health
Care
(9.6%)
185,684
Align
Technology,
Inc.
a
56,693,039
347,604
Bio-Techne
Corporation
23,661,404
675,121
Centene
Corporation
a
46,502,335
495,528
Edwards
Lifesciences
Corporation
a
34,330,180
2,150,975
Maravai
LifeSciences
Holdings,
Inc.
a
21,509,750
188,306
Sarepta
Therapeutics,
Inc.
a
22,826,453
Total
205,523,161
Industrials
(19.5%)
487,225
Advanced
Drainage
Systems,
Inc.
55,460,822
131,389
Axon
Enterprise,
Inc.
a
26,145,097
646,730
Fastenal
Company
35,337,327
1,072,826
Howmet
Aerospace,
Inc.
49,618,203
153,006
Lincoln
Electric
Holdings,
Inc.
27,814,961
174,180
Old
Dominion
Freight
Line,
Inc.
71,264,005
210,725
Quanta
Services,
Inc.
39,420,326
609,884
Timken
Company
44,820,375
155,053
United
Rentals,
Inc.
68,931,912
Total
418,813,028
Information
Technology
(12.2%)
112,070
ANSYS,
Inc.
a
33,346,429
674,603
Ciena
Corporation
a
31,881,738
1,584,379
Dropbox,
Inc.
a
43,142,640
199,742
Enphase
Energy,
Inc.
a
23,999,001
Shares
Common
Stock
(98.5%)
Value
Information
Technology
(12.2%)
-
continued
188,367
NICE,
Ltd.
ADR
a,b
$
32,022,390
479,476
ON
Semiconductor
Corporation
a
44,567,294
556,664
Trimble,
Inc.
a
29,981,923
577,066
Wolfspeed,
Inc.
a
21,986,215
Total
260,927,630
Materials
(7.9%)
917,074
Ball
Corporation
45,651,944
466,924
PPG
Industries,
Inc.
60,606,735
587,441
Steel
Dynamics,
Inc.
62,985,424
Total
169,244,103
Real
Estate
(4.4%)
333,122
Alexandria
Real
Estate
Equities,
Inc.
33,345,512
198,332
Camden
Property
Trust
18,758,241
206,250
SBA
Communications
Corporation
41,285,062
Total
93,388,815
Utilities
(4.7%)
773,269
Alliant
Energy
Corporation
37,464,883
995,648
CenterPoint
Energy,
Inc.
26,733,149
1,472,675
NiSource,
Inc.
36,345,619
Total
100,543,651
Total
Common
Stock
(cost
$1,662,715,208)
2,109,301,785
Shares
Collateral
Held
for
Securities
Loaned
(
0.1%
)
Value
873,375
Thrivent
Cash
Management
Trust
873,375
Total
Collateral
Held
for
Securities
Loaned
(cost
$873,375)
873,375
Shares
Short-Term
Investments
(
1.6%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
3,507,687
5.650%
35,076,872
Total
Short-Term
Investments
(cost
$35,057,832)
35,076,872
Total
Investments
(cost
$1,698,646,415)
100.2%
$2,145,252,032
Other
Assets
and
Liabilities,
Net
(0.2%)
(
3,728,834)
Total
Net
Assets
100.0%
$2,141,523,198
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Mid
Cap
Stock
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
867,000
Total
lending
$867,000
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$873,375
Net
amounts
due
to
counterparty
$6,375
Mid
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
206
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
plc
-
Public
Limited
Company
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
18,262,872
18,262,872
Consumer
Discretionary
281,808,909
281,808,909
Consumer
Staples
95,994,519
95,994,519
Energy
109,121,473
109,121,473
Financials
355,673,624
355,673,624
Health
Care
205,523,161
205,523,161
Industrials
418,813,028
418,813,028
Information
Technology
260,927,630
260,927,630
Materials
169,244,103
169,244,103
Real
Estate
93,388,815
93,388,815
Utilities
100,543,651
100,543,651
Subtotal
Investments
in
Securities
$2,109,301,785
$2,109,301,785
$–
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
35,076,872
Collateral
Held
for
Securities
Loaned
873,375
Subtotal
Other
Investments
$35,950,247
Total
Investments
at
Value
$2,145,252,032
*
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
the
table
above
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
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
207
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
55,489
$184,115
$204,527
$35,077
3,508
1.6%
Total
Affiliated
Short-Term
Investments
55,489
35,077
1.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
106,285
105,412
873
873
0.1
Total
Collateral
Held
for
Securities
Loaned
873
0.1
Total
Value
$55,489
$35,950
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$2,024
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$2,024
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
57
Total
Affiliated
Income
from
Securities
Loaned,
Net
$57
Total
Value
$–
$–
$
Mid
Cap
Value
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
208
Shares
Common
Stock
(
99.2%
)
Value
Communications
Services
(2.6%)
38,345
Imax
Corporation
a
$
740,825
49,317
Warner
Brothers
Discovery,
Inc.
a
535,583
Total
1,276,408
Consumer
Discretionary
(11.0%)
4,152
Aptiv
plc
a
409,346
13,698
Cedar
Fair,
LP
506,826
18,403
Cheesecake
Factory,
Inc.
557,611
6,077
D.R.
Horton,
Inc.
653,095
18,960
eBay,
Inc.
835,946
6,142
Lear
Corporation
824,256
12,367
PUMA
SE
764,681
17,470
Six
Flags
Entertainment
Corporation
a
410,720
12,256
Tapestry,
Inc.
352,360
Total
5,314,841
Consumer
Staples
(6.7%)
6,563
Dollar
Tree,
Inc.
a
698,631
5,464
Lamb
Weston
Holdings,
Inc.
505,202
6,900
Reckitt
Benckiser
Group
plc
486,596
9,227
Sysco
Corporation
609,443
23,083
US
Foods
Holding
Corporation
a
916,395
Total
3,216,267
Energy
(8.0%)
33,307
Enterprise
Products
Partners,
LP
911,613
7,399
Helmerich
&
Payne,
Inc.
311,942
4,054
Marathon
Petroleum
Corporation
613,532
18,353
Noble
Corporation
plc
929,579
4,816
Pioneer
Natural
Resources
Company
1,105,513
Total
3,872,179
Financials
(18.2%)
8,598
Allstate
Corporation
957,903
6,296
Capital
One
Financial
Corporation
611,027
35,134
Carlyle
Group,
Inc.
1,059,642
3,743
Cboe
Global
Markets,
Inc.
584,694
11,658
Comerica,
Inc.
484,390
13,097
Eastern
Bankshares,
Inc.
164,236
26,739
Equitable
Holdings,
Inc.
759,120
6,106
M&T
Bank
Corporation
772,104
3,379
Raymond
James
Financial,
Inc.
339,353
4,078
Selective
Insurance
Group,
Inc.
420,727
11,269
Synovus
Financial
Corporation
313,278
14,306
Texas
Capital
Bancshares,
Inc.
a
842,623
11,763
Voya
Financial,
Inc.
781,651
9,677
Wintrust
Financial
Corporation
730,614
Total
8,821,362
Health
Care
(7.3%)
32,230
Avantor,
Inc.
a
679,408
20,166
Baxter
International,
Inc.
761,065
6,397
Cardinal
Health,
Inc.
555,388
4,850
Laboratory
Corporation
of
America
Holdings
975,092
4,378
Universal
Health
Services,
Inc.
550,446
Total
3,521,399
Industrials
(16.9%)
5,220
AGCO
Corporation
617,422
26,526
Barnes
Group,
Inc.
901,088
Shares
Common
Stock
(99.2%)
Value
Industrials
(16.9%)
-
continued
6,700
Booz
Allen
Hamilton
Holding
Corporation
$
732,109
2,310
Carlisle
Companies,
Inc.
598,891
30,360
Flowserve
Corporation
1,207,417
5,757
General
Dynamics
Corporation
1,272,124
6,278
JB
Hunt
Transport
Services,
Inc.
1,183,529
27,034
Sensata
Technologies
Holding
plc
1,022,426
24,132
Southwest
Airlines
Company
653,253
Total
8,188,259
Information
Technology
(8.6%)
9,425
CommVault
Systems,
Inc.
a
637,224
4,556
Jabil,
Inc.
578,111
16,418
Juniper
Networks,
Inc.
456,256
16,471
Knowles
Corporation
a
243,936
8,395
MKS
Instruments,
Inc.
726,503
3,676
ON
Semiconductor
Corporation
a
341,684
4,995
PTC,
Inc.
a
707,692
10,330
Western
Digital
Corporation
a
471,358
Total
4,162,764
Materials
(8.3%)
18,650
Alcoa
Corporation
541,969
18,033
Axalta
Coating
Systems,
Ltd.
a
485,088
16,803
Berry
Plastics
Group,
Inc.
1,040,274
8,193
Celanese
Corporation
1,028,385
10,750
CF
Industries
Holdings,
Inc.
921,705
Total
4,017,421
Real
Estate
(6.1%)
2,792
AvalonBay
Communities,
Inc.
479,498
7,872
CBRE
Group,
Inc.
a
581,426
40,301
Healthcare
Realty
Trust,
Inc.
615,396
50,694
Host
Hotels
&
Resorts,
Inc.
814,653
4,351
Simon
Property
Group,
Inc.
470,038
Total
2,961,011
Utilities
(5.5%)
10,694
Alliant
Energy
Corporation
518,124
6,596
Constellation
Energy
Corporation
719,492
6,223
DTE
Energy
Company
617,819
31,539
NiSource,
Inc.
778,383
Total
2,633,818
Total
Common
Stock
(cost
$45,546,528)
47,985,729
Shares
Short-Term
Investments
(
0.6%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
28,758
5.650%
287,583
Total
Short-Term
Investments
(cost
$287,583)
287,583
Total
Investments
(cost
$45,834,111)
99.8%
$48,273,312
Other
Assets
and
Liabilities,
Net
0.2%
92,943
Total
Net
Assets
100.0%
$48,366,255
a
Non-income
producing
security.
Definitions:
plc
-
Public
Limited
Company
Mid
Cap
Value
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
209
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
1,276,408
1,276,408
Consumer
Discretionary
5,314,841
4,550,160
764,681
Consumer
Staples
3,216,267
2,729,671
486,596
Energy
3,872,179
3,872,179
Financials
8,821,362
8,821,362
Health
Care
3,521,399
3,521,399
Industrials
8,188,259
8,188,259
Information
Technology
4,162,764
4,162,764
Materials
4,017,421
4,017,421
Real
Estate
2,961,011
2,961,011
Utilities
2,633,818
2,633,818
Subtotal
Investments
in
Securities
$47,985,729
$46,734,452
$1,251,277
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
287,583
Subtotal
Other
Investments
$287,583
Total
Investments
at
Value
$48,273,312
*
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
the
table
above
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
Mid
Cap
Value
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$1,619
$15,487
$16,818
$288
29
0.6%
Total
Affiliated
Short-Term
Investments
1,619
288
0.6
Total
Value
$1,619
$288
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$35
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$35
Total
Value
$–
$–
$
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
210
Principal
Amount
Bank
Loans
(
1.3%
)
a
Value
Basic
Materials
(<0.1%)
Grinding
Media,
Inc.,
Term
Loan
$
446,939
9.530%, 
(TSFR1M
+
4.000%),
10/12/2028
b,c
$
442,470
INEOS
US
Petrochem,
LLC,
Term
Loan
1,167,754
8.181%, 
(TSFR1M
+
2.750%),
1/29/2026
b
1,161,331
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
408,396
8.931%, 
(TSFR1M
+
3.500%),
6/30/2027
b
406,999
Nouryon
USA,
LLC,
Term
Loan
887,728
8.427%, 
(TSFR3M
+
3.000%),
10/1/2025
b
886,245
Spectrum
Group
Buyer,
Inc.,
Term
Loan
402,480
11.953%, 
(TSFR1M
+
6.500%),
5/19/2028
b
386,683
Total
3,283,728
Capital
Goods
(0.2%)
Ali
Group
North
America
Corporation,
Term
Loan
591,715
7.431%, 
(TSFR1M
+
2.000%),
7/22/2029
b
590,892
Brookfield
WEC
Holdings,
Inc.,
Term
Loan
970,025
8.181%, 
(TSFR1M
+
2.750%),
8/1/2025
b
968,900
BW
Holding,
Inc.,
Term
Loan
421,414
9.573%, 
(TSFR1M
+
4.000%),
12/14/2028
b
377,317
Chart
Industries,
Inc.,
Term
Loan
371,068
9.174%, 
(TSFR1M
+
3.750%),
3/17/2030
b,c
371,068
Charter
Next
Generation,
Inc.,
Term
Loan
1,084,110
9.181%, 
(TSFR1M
+
3.750%),
12/1/2027
b
1,073,269
Clydesdale
Acquisition
Holdings,
Inc.,
Term
Loan
1,123,622
9.591%, 
(TSFR1M
+
4.175%),
4/13/2029
b
1,107,093
Cornerstone
Building
Brands,
Inc.,
Term
Loan
1,058,259
8.682%, 
(TSFR1M
+
3.250%),
4/12/2028
b
1,029,824
Emerald
Debt
Merger
Sub,
LLC,
Term
Loan
836,212
8.316%, 
(TSFR1M
+
3.000%),
5/31/2030
b
834,648
EnergySolutions,
LLC,
Term
Loan
298,030
0.000%, 
(TSFR1M
+
4.000%),
9/18/2030
b,c,d,e
295,795
Foley
Products
Company,
LLC,
Term
Loan
361,587
10.290%, 
(SOFRRATE
+
4.750%),
2/16/2029
b
359,703
Proampac
PG
Borrower,
LLC,
Term
Loan
600,993
0.000%, 
(TSFR1M
+
4.500%),
9/26/2028
b,d,e
597,087
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Capital
Goods
(0.2%)
-
continued
Quikrete
Holdings,
Inc.,
Term
Loan
$
260,296
8.056%, 
(TSFR1M
+
2.625%),
1/31/2027
b
$
259,645
1,029,325
8.181%, 
(TSFR1M
+
2.750%),
3/18/2029
b
1,028,738
Smyrna
Ready
Mix
Concrete,
LLC,
Term
Loan
788,423
9.666%, 
(TSFR1M
+
4.250%),
4/1/2029
b,c
789,409
TK
Elevator
U.S.
Newco,
Inc.,
Term
Loan
664,315
9.381%, 
(TSFR6M
+
3.500%),
7/31/2027
b
662,322
TransDigm,
Inc.,
Term
Loan
1,737,867
8.640%, 
(TSFR1M
+
3.250%),
8/24/2028
b
1,737,589
Vertiv
Group
Corporation,
Term
Loan
651,303
8.192%, 
(TSFR1M
+
2.750%),
3/2/2027
b
649,909
Total
12,733,208
Communications
Services
(0.2%)
Altice
France
SA/France,
Term
Loan
1,360,032
10.808%, 
(TSFR1M
+
5.500%),
8/31/2028
b
1,227,768
CCI
Buyer,
Inc.,
Term
Loan
523,629
9.390%, 
(TSFR3M
+
4.000%),
12/17/2027
b
516,105
Cengage
Learning,
Inc.,
Term
Loan
434,170
10.323%, 
(TSFR3M
+
4.750%),
7/14/2026
b
431,565
Charter
Communications
Operating,
LLC,
Term
Loan
1,633,979
7.116%, 
(TSFR3M
+
1.750%),
2/1/2027
b
1,631,332
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
1,216,024
9.130%, 
(TSFR3M
+
3.500%),
8/23/2026
b
1,179,033
CMG
Media
Corporation,
Term
Loan
786,500
0.000%, 
(LIBOR
3M
+
3.500%),
12/17/2026
b,d,e
717,681
Crown
Subsea
Communications
Holding,
Inc.,
Term
Loan
399,900
10.444%, 
(TSFR1M
+
5.000%),
4/27/2027
b
400,568
541,116
10.694%, 
(TSFR1M
+
5.250%),
4/27/2027
b
542,469
CSC
Holdings,
LLC,
Term
Loan
610,917
7.947%, 
(LIBOR
1M
+
2.500%),
4/15/2027
b
551,860
DIRECTV
Financing,
LLC,
Term
Loan
1,476,270
10.431%, 
(TSFR1M
+
5.000%),
8/2/2027
b
1,441,002
Intelsat
Jackson
Holdings
SA,
Term
Loan
774,813
9.772%, 
(TSFR6M
+
4.250%),
2/1/2029
b
772,349
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
211
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Communications
Services
(0.2%)
-
continued
Level
3
Financing,
Inc.,
Term
Loan
$
684,000
7.181%, 
(TSFR1M
+
1.750%),
3/1/2027
b
$
644,841
Lumen
Technologies,
Inc.,
Term
Loan
837,630
7.681%, 
(TSFR1M
+
2.250%),
3/15/2027
b
594,960
McGraw-Hill
Education,
Inc.,
Term
Loan
768,000
10.181%, 
(LIBOR
1M
+
4.750%),
7/30/2028
b,d,e
751,519
MH
Sub
I,
LLC,
Term
Loan
1,003,925
9.566%, 
(TSFR1M
+
4.250%),
5/3/2028
b
969,882
NEP
Group,
Inc.,
Term
Loan
434,043
8.681%, 
(TSFR1M
+
3.250%),
10/20/2025
b
418,582
Playtika
Holding
Corporation,
Term
Loan
523,629
8.181%, 
(TSFR1M
+
2.750%),
3/11/2028
b
522,650
Radiate
Holdco,
LLC,
Term
Loan
849,212
8.681%, 
(TSFR1M
+
3.250%),
9/25/2026
b
692,600
RLG
Holdings,
LLC,
Term
Loan
421,411
9.681%, 
(TSFR1M
+
4.250%),
7/8/2028
b
395,073
SBA
Senior
Finance
II,
LLC,
Term
Loan
558,680
7.170%, 
(TSFR1M
+
1.750%),
4/11/2025
b,d,e
558,104
UPC
Financing
Partnership,
Term
Loan
400,000
8.372%, 
(TSFR1M
+
2.925%),
1/31/2029
b
393,500
Virgin
Media
Bristol,
LLC,
Term
Loan
993,000
7.947%, 
(TSFR1M
+
2.500%),
1/31/2028
b
963,339
Zayo
Group
Holdings,
Inc.,
Term
Loan
839,000
8.431%, 
(TSFR1M
+
3.000%),
3/9/2027
b
683,206
Ziggo
Financing
Partnership,
Term
Loan
671,000
7.947%, 
(TSFR1M
+
2.500%),
4/30/2028
b
654,782
Total
17,654,770
Consumer
Cyclical
(0.2%)
1011778
B.C.,
ULC,
Term
Loan
1,625,368
7.566%, 
(TSFR1M
+
2.250%),
9/21/2030
b
1,618,265
AlixPartners,
LLP,
Term
Loan
459,289
8.181%, 
(TSFR1M
+
2.750%),
2/4/2028
b
458,600
Allied
Universal
Holdco,
LLC,
Term
Loan
1,621,455
9.166%, 
(TSFR1M
+
3.750%),
5/14/2028
b
1,563,779
Alterra
Mountain
Company,
Term
Loan
510,788
8.931%, 
(TSFR1M
+
3.500%),
8/17/2028
b
509,087
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Consumer
Cyclical
(0.2%)
-
continued
Arches
Buyer,
Inc.,
Term
Loan
$
281,102
8.666%, 
(TSFR1M
+
3.250%),
12/6/2027
b
$
274,777
Caesars
Entertainment,
Inc.,
Term
Loan
997,985
8.666%, 
(TSFR1M
+
3.250%),
2/6/2030
b
997,366
Carnival
Corporation,
Term
Loan
601,562
8.327%, 
(TSFR1M
+
3.000%),
8/8/2027
b
599,306
441,506
8.681%, 
(TSFR1M
+
3.250%),
10/18/2028
b
438,747
Cinemark
USA,
Inc.,
Term
Loan
434,760
9.089%, 
(TSFR1M
+
3.750%),
5/24/2030
b
433,765
Clarios
Global,
LP,
Term
Loan
905,797
9.066%, 
(TSFR1M
+
3.750%),
5/4/2030
b
902,971
Delta
2
Lux
SARL,
Term
Loan
968,000
8.316%, 
(TSFR1M
+
3.000%),
1/15/2030
b
967,032
Ensemble
RCM,
LLC,
Term
Loan
364,104
9.219%, 
(TSFR1M
+
3.750%),
8/1/2026
b
364,235
Fertitta
Entertainment,
LLC/NV,
Term
Loan
395,980
9.316%, 
(TSFR1M
+
4.000%),
1/27/2029
b
391,525
First
Brands
Group,
LLC,
Term
Loan
520,992
10.881%, 
(TSFR6M
+
5.000%),
3/30/2027
b
513,177
GoDaddy
Operating
Company,
LLC,
Term
Loan
640,171
7.816%, 
(TSFR1M
+
2.500%),
11/10/2029
b
640,369
Great
Outdoors
Group,
LLC,
Term
Loan
906,748
9.181%, 
(TSFR1M
+
3.750%),
3/5/2028
b
903,674
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
806,778
8.181%, 
(TSFR1M
+
2.750%),
10/19/2027
b
799,808
IRB
Holding
Corporation,
Term
Loan
934,881
8.416%, 
(TSFR1M
+
3.000%),
12/15/2027
b
930,562
Light
&
Wonder
International,
Inc.,
Term
Loan
983,045
8.434%, 
(TSFR1M
+
3.000%),
4/14/2029
b
981,816
Petco
Health
&
Wellness
Company,
Inc.,
Term
Loan
418,332
8.902%, 
(TSFR3M
+
3.250%),
3/4/2028
b
413,103
PetSmart,
LLC,
Term
Loan
1,280,203
9.166%, 
(TSFR1M
+
3.750%),
2/12/2028
b
1,274,941
Pilot
Travel
Centers,
LLC,
Term
Loan
1,094,997
7.416%, 
(TSFR1M
+
2.000%),
8/6/2028
b
1,093,037
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
212
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Consumer
Cyclical
(0.2%)
-
continued
Prime
Security
Services
Borrower,
LLC,
Term
Loan
$
1,302,640
8.192%, 
(TSFR1M
+
2.750%),
9/23/2026
b
$
1,300,282
Scientific
Games
Holdings,
LP,
Term
Loan
664,290
8.768%, 
(TSFR1M
+
3.500%),
4/4/2029
b
659,859
Staples,
Inc.,
Term
Loan
639,987
10.634%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
547,778
Stars
Group
Holdings
BV,
Term
Loan
383,091
7.902%, 
(TSFR3M
+
2.250%),
7/21/2026
b
382,574
Uber
Technologies,
Inc.,
Term
Loan
470,825
8.159%, 
(TSFR1M
+
2.750%),
3/3/2030
b
470,397
UFC
Holdings,
LLC,
Term
Loan
639,083
8.369%, 
(TSFR3M
+
2.750%),
4/29/2026
b
638,067
Total
21,068,899
Consumer
Non-Cyclical
(0.2%)
AI
Aqua
Merger
Sub,
Inc.,
Term
Loan
1,044,281
9.084%, 
(TSFR1M
+
3.750%),
7/30/2028
b
1,032,700
Alltech,
Inc.,
Term
Loan
395,871
9.431%, 
(TSFR1M
+
4.000%),
10/15/2028
b
381,520
Amneal
Pharmaceuticals,
LLC,
Term
Loan
897,618
8.931%, 
(TSFR1M
+
3.500%),
5/4/2025
b
879,666
Bausch
+
Lomb
Corporation,
Term
Loan
1,021,654
8.755%, 
(TSFR1M
+
3.250%),
5/10/2027
b
991,577
400,195
0.000%, 
(TSFR1M
+
4.000%),
9/14/2028
b,c,d,e
394,692
Chobani,
LLC,
Term
Loan
408,588
8.931%, 
(TSFR1M
+
3.500%),
10/23/2027
b
408,204
DaVita,
Inc.,
Term
Loan
327,476
7.181%, 
(TSFR1M
+
1.750%),
8/12/2026
b
323,180
Elanco
Animal
Health,
Inc.,
Term
Loan
516,552
7.180%, 
(TSFR1M
+
1.750%),
8/1/2027
b
506,148
Froneri
U.S.,
Inc.,
Term
Loan
995,708
7.666%, 
(TSFR3M
+
2.250%),
1/31/2027
b
987,444
Gainwell
Acquisition
Corporation,
Term
Loan
1,414,095
9.490%, 
(TSFR3M
+
4.000%),
10/1/2027
b
1,377,413
ICON
Luxembourg
SARL,
Term
Loan
1,035,094
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
1,034,266
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Consumer
Non-Cyclical
(0.2%)
-
continued
Jazz
Financing
Lux
SARL,
Term
Loan
$
1,288,371
8.931%, 
(TSFR1M
+
3.500%),
5/5/2028
b
$
1,287,122
LifePoint
Health,
Inc.,
Term
Loan
500,725
0.000%, 
(TSFR1M
+
5.500%),
11/16/2028
b,c,d,e
485,703
1,316,646
9.377%, 
(TSFR3M
+
3.750%),
11/16/2025
b,d,e
1,312,261
Medline
Borrower,
LP,
Term
Loan
2,363,010
8.681%, 
(TSFR1M
+
3.250%),
10/21/2028
b
2,355,212
Organon
&
Company,
Term
Loan
1,186,348
8.442%, 
(TSFR1M
+
3.000%),
6/2/2028
b
1,182,789
Packaging
Coordinators
Midco,
Inc.,
Term
Loan
388,015
9.152%, 
(TSFR3M
+
3.500%),
11/30/2027
b
385,955
Phoenix
Newco,
Inc.,
Term
Loan
898,241
8.681%, 
(TSFR1M
+
3.250%),
11/15/2028
b
891,100
PRA
Health
Sciences,
Inc.,
Term
Loan
257,894
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
257,688
Reynolds
Consumer
Products,
LLC,
Term
Loan
742,843
7.166%, 
(TSFR1M
+
1.750%),
2/4/2027
b
741,580
Select
Medical
Corporation,
Term
Loan
656,355
8.316%, 
(TSFR1M
+
3.000%),
3/6/2027
b
653,894
Sotera
Health
Holdings,
LLC,
Term
Loan
817,400
8.181%, 
(TSFR1M
+
2.750%),
12/11/2026
b
809,022
Star
Parent,
Inc.,
Term
Loan
919,600
0.000%, 
(TSFR1M
+
4.000%),
9/28/2030
b,d,e
898,017
Total
19,577,153
Energy
(<0.1%)
Buckeye
Partners,
LP,
Term
Loan
651,303
7.666%, 
(TSFR1M
+
2.250%),
11/1/2026
b
650,326
CQP
Holdco,
LP,
Term
Loan
1,302,673
8.990%, 
(TSFR1M
+
3.500%),
6/4/2028
b
1,302,374
GIP
II
Blue
Holding,
LP,
Term
Loan
225,813
9.931%, 
(TSFR3M
+
4.500%),
9/29/2028
b
226,095
GIP
III
Stetson
I,
LP,
Term
Loan
347,392
9.666%, 
(TSFR1M
+
4.250%),
7/18/2025
b
347,030
Oryx
Midstream
Services
Permian
Basin,
LLC,
Term
Loan
298,678
8.692%, 
(TSFR3M
+
3.250%),
10/5/2028
b
298,213
Total
2,824,038
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
213
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Financials
(0.1%)
Acrisure,
LLC,
Term
Loan
$
612,651
8.931%, 
(LIBOR
1M
+
3.500%),
2/15/2027
b
$
603,241
Alliant
Holdings
Intermediate,
LLC,
Term
Loan
255,396
8.831%, 
(TSFR1M
+
3.500%),
11/6/2027
b
254,837
AmWINS
Group,
Inc.,
Term
Loan
982,899
7.681%, 
(TSFR1M
+
2.250%),
2/19/2028
b
976,088
Asurion,
LLC,
Term
Loan
711,682
8.681%, 
(LIBOR
3M
+
3.250%),
12/23/2026
b
695,669
585,000
8.681%, 
(TSFR3M
+
3.250%),
7/31/2027
b
564,525
121,542
9.666%, 
(TSFR1M
+
4.250%),
8/19/2028
b
117,895
Edelman
Financial
Engines
Center,
LLC,
Term
Loan
268,256
8.931%, 
(TSFR1M
+
3.500%),
4/7/2028
b
265,104
First
Eagle
Holdings,
Inc.,
Term
Loan
268,138
7.990%, 
(TSFR3M
+
2.500%),
2/2/2027
b
265,553
FleetCor
Technologies
Operating
Company,
LLC,
Term  Loan
523,648
7.166%, 
(TSFR1M
+
1.750%),
4/30/2028
b
521,386
Focus
Financial
Partners,
LLC,
Term
Loan
446,617
8.566%, 
(TSFR1M
+
3.250%),
6/30/2028
b
445,067
Howden
Group
Holdings,
Ltd.,
Term
Loan
268,242
8.688%, 
(LIBOR
1M
+
3.250%),
11/12/2027
b
267,102
HUB
International,
Ltd.,
Term
Loan
1,159,000
9.584%, 
(TSFR1M
+
4.250%),
6/20/2030
b
1,160,935
Hudson
River
Trading,
LLC,
Term
Loan
281,117
8.631%, 
(TSFR1M
+
3.000%),
3/18/2028
b
279,059
Jane
Street
Group,
LLC,
Term
Loan
523,616
8.181%, 
(TSFR1M
+
2.750%),
1/26/2028
b
521,652
Sedgwick
Claims
Management
Services,
Inc.,
Term
Loan
435,312
9.066%, 
(TSFR1M
+
3.750%),
2/24/2028
b
434,172
Trans
Union,
LLC,
Term
Loan
813,051
7.681%, 
(TSFR1M
+
2.250%),
12/1/2028
b
811,937
USI,
Inc./NY,
Term
Loan
970,200
9.140%, 
(TSFR1M
+
3.750%),
11/22/2029
b
968,716
VFH
Parent,
LLC,
Term
Loan
396,000
8.418%, 
(TSFR1M
+
3.000%),
1/13/2029
b
392,452
Total
9,545,390
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Technology
(0.3%)
Amentum
Government
Services
Holdings,
LLC,
Term  Loan
$
651,404
9.331%, 
(TSFR1M
+
4.000%),
2/15/2029
b
$
641,229
AthenaHealth
Group,
Inc.,
Term
Loan
1,258,660
8.568%, 
(PRIME
+
3.250%),
2/15/2029
b
1,233,097
Boxer
Parent
Company,
Inc.,
Term
Loan
994,254
9.181%, 
(TSFR1M
+
3.750%),
10/2/2025
b
992,742
Central
Parent,
Inc.,
Term
Loan
1,165,195
9.640%, 
(TSFR3M
+
4.250%),
7/6/2029
b
1,164,566
Cloud
Software
Group,
Inc.,
Term
Loan
706,450
9.990%, 
(TSFR3M
+
4.500%),
3/30/2029
b
678,340
Coherent
Corporation,
Term
Loan
601,512
8.181%, 
(TSFR3M
+
2.750%),
7/1/2029
b
598,883
CommScope,
Inc.,
Term
Loan
394,744
8.681%, 
(TSFR1M
+
3.250%),
4/4/2026
b
359,414
CoreLogic,
Inc.,
Term
Loan
513,073
8.931%, 
(TSFR1M
+
3.500%),
6/2/2028
b
473,095
Cornerstone
OnDemand,
Inc.,
Term
Loan
714,744
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
678,113
Dcert
Buyer,
Inc.,
Term
Loan
791,795
9.316%, 
(TSFR6M
+
4.000%),
10/16/2026
b
785,769
Dun
&
Bradstreet
Corporation,
Term
Loan
778,766
8.167%, 
(TSFR1M
+
2.750%),
2/8/2026
b
777,061
Entegris,
Inc.,
Term
Loan
554,460
7.871%, 
(TSFR3M
+
2.500%),
7/6/2029
b
554,288
Gen
Digital,
Inc.,
Term
Loan
752,368
7.416%, 
(TSFR1M
+
2.000%),
9/12/2029
b
749,359
Genesys
Cloud
Services
Holdings
II,
LLC,
Term
Loan
652,977
9.431%, 
(TSFR1M
+
4.000%),
12/1/2027
b
652,977
GTCR
W
Merger
Sub,
LLC,
Term
Loan
1,258,400
0.000%, 
(TSFR1M
+
3.000%),
9/20/2030
b,d,e
1,257,481
Informatica,
LLC,
Term
Loan
651,387
8.181%, 
(TSFR1M
+
2.750%),
10/29/2028
b
648,540
Magenta
Buyer,
LLC,
Term
Loan
704,621
10.631%, 
(TSFR3M
+
5.000%),
7/27/2028
b
522,202
McAfee
Corporation,
Term
Loan
1,341,416
9.180%, 
(TSFR1M
+
3.750%),
3/1/2029
b
1,308,297
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
214
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Technology
(0.3%)
-
continued
Mitchell
International,
Inc.,
Term
Loan
$
817,698
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
$
803,152
MKS
Instruments,
Inc.,
Term
Loan
1,175,130
8.166%, 
(TSFR1M
+
2.750%),
8/17/2029
b
1,173,238
Open
Text
Corporation,
Term
Loan
1,010,365
8.166%, 
(TSFR1M
+
2.750%),
1/31/2030
b
1,009,910
Peraton
Corporation,
Term
Loan
2,024,298
9.166%, 
(TSFR1M
+
3.750%),
2/1/2028
b
2,017,983
Polaris
Newco,
LLC,
Term
Loan
1,175,010
9.431%, 
(TSFR3M
+
4.000%),
6/4/2028
b
1,123,392
Proofpoint,
Inc.,
Term
Loan
868,164
8.681%, 
(TSFR1M
+
3.250%),
8/31/2028
b
860,081
RealPage,
Inc.,
Term
Loan
664,222
8.431%, 
(TSFR1M
+
3.000%),
4/22/2028
b
655,919
Tempo
Acquisition,
LLC,
Term
Loan
638,526
8.316%, 
(TSFR1M
+
2.750%),
8/31/2028
b
638,526
UKG,
Inc.,
Term
Loan
1,391,834
8.618%, 
(TSFR3M
+
3.250%),
5/3/2026
b
1,386,768
Verscend
Holding
Corporation,
Term
Loan
957,410
9.431%, 
(TSFR1M
+
4.000%),
8/27/2025
b
956,385
Total
24,700,807
Transportation
(0.1%)
AAdvantage
Loyalty
IP,
Ltd.,
Term
Loan
1,507,365
10.338%, 
(TSFR3M
+
4.750%),
4/20/2028
b
1,551,079
Air
Canada,
Term
Loan
1,238,931
9.128%, 
(TSFR3M
+
3.500%),
8/11/2028
b
1,238,671
Apple
Bidco,
LLC,
Term
Loan
410,412
8.181%, 
(TSFR1M
+
2.750%),
9/23/2028
b
407,128
Brown
Group
Holding,
LLC,
Term
Loan
523,277
8.166%, 
(TSFR1M
+
2.750%),
6/7/2028
b
517,934
Genesee
&
Wyoming,
Inc.,
Term
Loan
651,251
7.490%, 
(TSFR3M
+
2.000%),
12/30/2026
b
649,825
Mileage
Plus
Holdings,
LLC,
Term
Loan
675,000
10.798%, 
(TSFR3M
+
5.250%),
6/20/2027
b
700,387
SkyMiles
IP,
Ltd.,
Term
Loan
1,184,050
9.076%, 
(TSFR3M
+
3.750%),
10/20/2027
b
1,225,054
Principal
Amount
Bank
Loans
(1.3%)
a
Value
Transportation
(0.1%)
-
continued
United
Airlines,
Inc.,
Term
Loan
$
810,528
9.182%, 
(TSFR3M
+
3.750%),
4/21/2028
b
$
810,714
Total
7,100,792
Utilities
(<0.1%)
PG&E
Corporation,
Term
Loan
957,998
8.431%, 
(TSFR1M
+
3.000%),
6/23/2025
b
957,337
Total
957,337
Total
Bank
Loans
(cost
$119,209,896)
119,446,122
Shares
Registered
Investment
Companies
(
40.9%
)
Value
U.S.
Affiliated  (40.3%)
21,712,781
Thrivent
Core
Emerging
Markets
Debt
Fund
160,891,706
5,867,275
Thrivent
Core
Emerging
Markets
Equity
Fund
48,815,728
10,549,418
Thrivent
Core
Low
Volatility
Equity
Fund
118,153,479
12,966,499
Thrivent
Core
Mid
Cap
Value
Fund
125,904,706
15,635,485
Thrivent
Core
Small
Cap
Value
Fund
140,719,369
37,945,041
Thrivent
Global
Stock
Portfolio
468,200,070
27,338,439
Thrivent
High
Yield
Portfolio
108,943,680
41,462,587
Thrivent
Income
Portfolio
343,343,387
30,984,040
Thrivent
International
Allocation
Portfolio
265,000,293
5,034,407
Thrivent
International
Index
Portfolio
60,414,393
46,029,861
Thrivent
Large
Cap
Value
Portfolio
917,260,052
21,025,596
Thrivent
Limited
Maturity
Bond
Portfolio
197,604,858
24,713,806
Thrivent
Mid
Cap
Stock
Portfolio
445,518,247
9,521,736
Thrivent
Small
Cap
Stock
Portfolio
151,895,491
Total
3,552,665,459
U.S.
Unaffiliated  (0.6%)
28,982
Communication
Services
Select
Sector
SPDR
Fund
1,900,350
11,405
Invesco
QQQ
Trust
Series
1
f
4,086,069
1,484
iShares
Biotechnology
ETF
181,478
42,598
SPDR
Bloomberg
High
Yield
Bond
ETF
f
3,850,859
90,834
SPDR
S&P
500
ETF
Trust
38,829,718
50,197
SPDR
S&P
Biotech
ETF
f
3,665,385
4,449
SPDR
S&P
Oil
&
Gas
Exploration
ETF
658,052
Total
53,171,911
Total
Registered
Investment
Companies
(cost
$3,295,017,238)
3,605,837,370
Shares
Common
Stock
(
25.7%
)
Value
Communications
Services
(2.1%)
80,388
Alphabet,
Inc.,
Class
A
g
10,519,574
579,370
Alphabet,
Inc.,
Class
C
g
76,389,934
56,836
Altice
USA,
Inc.
g
185,854
29,519
AMC
Networks,
Inc.
g
347,734
11,780
Bumble,
Inc.
g
175,758
98
Cable
One,
Inc.
60,333
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
215
Shares
Common
Stock
(25.7%)
Value
Communications
Services
(2.1%)
-
continued
135,106
Cargurus,
Inc.
g
$
2,367,057
222,754
Comcast
Corporation
9,876,912
20,205
DISH
Network
Corporation
g
118,401
988
Electronic
Arts,
Inc.
118,955
27,881
Emerald
Holding,
Inc.
g
126,022
11,384
Entravision
Communications
Corporation
41,552
30,681
Frontier
Communications
Parent,
Inc.
g
480,158
71,656
iHeartMedia,
Inc.
g
226,433
19,001
Imax
Corporation
g
367,099
49,930
Integral
Ad
Science
Holding
Corporation
g
593,668
8,806
Interpublic
Group
of
Companies,
Inc.
252,380
45,465
Liberty
Global
plc,
Class
A
g
778,361
93,503
Liberty
Global
plc,
Class
C
g
1,735,416
31,795
Liberty
Latin
America,
Ltd.,
Class
A
g
259,447
6,695
Live
Nation
Entertainment,
Inc.
g
555,953
384,824
Lumen
Technologies,
Inc.
g
546,450
5,001
Match
Group,
Inc.
g
195,914
138,627
Meta
Platforms,
Inc.
g
41,617,212
29,305
Netflix,
Inc.
g
11,065,568
1,637
Omnicom
Group,
Inc.
121,924
215,994
QuinStreet,
Inc.
g
1,937,466
1,713
Shutterstock,
Inc.
65,180
13,184
Sinclair,
Inc.
147,924
9,829
TechTarget,
Inc.
g
298,408
22,692
Telephone
and
Data
Systems,
Inc.
415,490
38,393
Trade
Desk,
Inc.
g
3,000,413
5,433
Tripadvisor,
Inc.
g
90,079
342,056
Verizon
Communications,
Inc.
11,086,035
59,951
Walt
Disney
Company
g
4,859,028
123,677
Warner
Brothers
Discovery,
Inc.
g
1,343,132
11,378
Windstream
Services,
LLC
g
108,091
788
Yelp,
Inc.
g
32,773
66,339
Ziff
Davis,
Inc.
g
4,225,131
Total
186,733,219
Consumer
Discretionary
(3.1%)
22,976
2U,
Inc.
g
56,751
598
Adient
plc
g
21,947
592,552
Amazon.com,
Inc.
g
75,325,210
4,379
American
Axle
&
Manufacturing
Holdings,
Inc.
g
31,791
59,399
American
Eagle
Outfitters,
Inc.
986,617
85,971
Aptiv
plc
g
8,475,881
25,169
Autoliv,
Inc.
2,428,305
179
AutoNation,
Inc.
g
27,100
6,650
Beazer
Homes
USA,
Inc.
g
165,651
3,500
Best
Buy
Company,
Inc.
243,145
2,325
Booking
Holdings,
Inc.
g
7,170,184
29,139
Boot
Barn
Holdings,
Inc.
g
2,365,795
5,158
Brunswick
Corporation
407,482
14,269
Buckle,
Inc.
476,442
5,298
Cedar
Fair,
LP
196,026
459
Cheesecake
Factory,
Inc.
13,908
2,934
Chegg,
Inc.
g
26,171
2,463
Chipotle
Mexican
Grill,
Inc.
g
4,511,797
226,316
Clarus
Corporation
1,710,949
24,763
Columbia
Sportswear
Company
1,834,938
20,147
Container
Store
Group,
Inc.
g
45,331
13,346
Cooper-Standard
Holdings,
Inc.
g
179,103
2,816
Crocs,
Inc.
g
248,456
Shares
Common
Stock
(25.7%)
Value
Consumer
Discretionary
(3.1%)
-
continued
7,719
Culp,
Inc.
g
$
43,072
14,320
D.R.
Horton,
Inc.
1,538,970
57,255
Dana,
Inc.
839,931
4,601
Darden
Restaurants,
Inc.
658,955
5,853
Deckers
Outdoor
Corporation
g
3,008,969
28,150
Domino's
Pizza,
Inc.
10,662,938
1,911
Dorman
Products,
Inc.
g
144,777
9,654
eBay,
Inc.
425,645
7,872
Etsy,
Inc.
g
508,374
287,573
Everi
Holdings,
Inc.
g
3,801,715
2,335
Expedia
Group,
Inc.
g
240,668
36,281
Five
Below,
Inc.
g
5,837,613
8,114
Ford
Motor
Company
100,776
43,765
Fox
Factory
Holding
Corporation
g
4,336,236
52,509
Gap,
Inc.
558,171
93,640
General
Motors
Company
3,087,311
32,558
Gentex
Corporation
1,059,437
33,793
Goodyear
Tire
&
Rubber
Company
g
420,047
1,175
Grand
Canyon
Education,
Inc.
g
137,334
10,677
Green
Brick
Partners,
Inc.
g
443,202
37,524
Harley-Davidson,
Inc.
1,240,543
31,915
Hilton
Worldwide
Holdings,
Inc.
4,792,995
94,367
Home
Depot,
Inc.
28,513,933
945
Hyatt
Hotels
Corporation
100,245
3,873
KB
Home
179,242
59,847
Laureate
Education,
Inc.
843,843
8,401
La-Z-Boy,
Inc.
259,423
13,280
Lear
Corporation
1,782,176
2,888
Lennar
Corporation
324,120
15,502
Lowe's
Companies,
Inc.
3,221,936
7,088
Lululemon
Athletica,
Inc.
g
2,733,204
5,515
M/I
Homes,
Inc.
g
463,481
591
Malibu
Boats,
Inc.
g
28,971
2,805
Marriott
International,
Inc./MD
551,351
409
Marriott
Vacations
Worldwide
Corporation
41,158
18,766
McDonald's
Corporation
4,943,715
13,996
Meritage
Homes
Corporation
1,712,970
12,390
MGM
Resorts
International
455,456
1,741
Modine
Manufacturing
Company
g
79,651
21,042
Mohawk
Industries,
Inc.
g
1,805,614
45,639
Nordstrom,
Inc.
f
681,847
586
NVR,
Inc.
g
3,494,494
5,738
ODP
Corporation
g
264,809
13,510
O'Reilly
Automotive,
Inc.
g
12,278,699
38,373
Papa
John's
International,
Inc.
2,617,806
6,703
PENN
Entertainment,
Inc.
g
153,834
14,887
Playa
Hotels
and
Resorts
NV
g
107,782
12,602
Polaris,
Inc.
1,312,372
7,997
Pool
Corporation
2,847,732
3,801
PulteGroup,
Inc.
281,464
162,016
Qurate
Retail,
Inc.
g
98,279
8,538
Ross
Stores,
Inc.
964,367
24,102
SeaWorld
Entertainment,
Inc.
g
1,114,717
4,987
Six
Flags
Entertainment
Corporation
g
117,244
28,411
Skyline
Champion
Corporation
g
1,810,349
7,313
Sonos,
Inc.
g
94,411
22,931
Sony
Group
Corporation
ADR
1,889,744
122,139
Stoneridge,
Inc.
g
2,451,330
2,034
Taylor
Morrison
Home
Corporation
g
86,669
132,379
Tesla,
Inc.
g
33,123,873
172,364
ThredUp,
Inc.
g
691,180
1,441
TopBuild
Corporation
g
362,556
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
216
Shares
Common
Stock
(25.7%)
Value
Consumer
Discretionary
(3.1%)
-
continued
37,469
Travel
+
Leisure
Company
$
1,376,236
24
Ulta
Beauty,
Inc.
g
9,587
18,731
Upbound
Group,
Inc.
551,628
18,651
Urban
Outfitters,
Inc.
g
609,701
285
Vail
Resorts,
Inc.
63,239
709
Visteon
Corporation
g
97,892
24,904
Wendy's
Company
508,291
11,089
Wingstop,
Inc.
1,994,246
30,257
Wyndham
Hotels
&
Resorts,
Inc.
2,104,072
Total
273,037,598
Consumer
Staples
(1.2%)
80,691
Altria
Group,
Inc.
3,393,057
13,759
Archer-Daniels-Midland
Company
1,037,704
117,372
BJ's
Wholesale
Club
Holdings,
Inc.
g
8,376,840
1,607
Boston
Beer
Company,
Inc.
g
625,975
4,148
Cal-Maine
Foods,
Inc.
200,846
13,049
Casey's
General
Stores,
Inc.
3,543,064
33,073
Celsius
Holdings,
Inc.
g
5,675,327
169,863
Coca-Cola
Company
9,508,931
56,341
Colgate-Palmolive
Company
4,006,408
147,055
Coty,
Inc.
g
1,613,193
2,473
Darling
Ingredients,
Inc.
g
129,091
36,957
e.l.f.
Beauty,
Inc.
g
4,058,987
27,345
Flowers
Foods,
Inc.
606,512
3,223
Hain
Celestial
Group,
Inc.
g
33,423
427
Hershey
Company
85,434
10,070
Hormel
Foods
Corporation
382,962
1,905
Ingredion,
Inc.
187,452
14,273
J
&
J
Snack
Foods
Corporation
2,335,776
2,410
John
B.
Sanfilippo
&
Son,
Inc.
238,108
56,121
Kenvue,
Inc.
1,126,910
51,585
Kimberly-Clark
Corporation
6,234,047
7,532
Kroger
Company
337,057
21,971
Lamb
Weston
Holdings,
Inc.
2,031,439
24,923
Lancaster
Colony
Corporation
4,113,043
60,331
Mondelez
International,
Inc.
4,186,971
1,575
PepsiCo,
Inc.
266,868
37,124
Philip
Morris
International,
Inc.
3,436,940
7,947
Pilgrim's
Pride
Corporation
g
181,430
1,732
PriceSmart,
Inc.
128,913
17,260
Primo
Water
Corporation
238,188
27,430
Procter
&
Gamble
Company
4,000,940
261
Seneca
Foods
Corporation
g
14,050
9,920
Simply
Good
Foods
Company
g
342,438
4,446
SpartanNash
Company
97,812
28,550
Sysco
Corporation
1,885,727
96,643
Turning
Point
Brands,
Inc.
2,231,487
5,067
Tyson
Foods,
Inc.
255,833
172,459
US
Foods
Holding
Corporation
g
6,846,622
110,752
Walmart,
Inc.
17,712,567
Total
101,708,372
Energy
(1.0%)
17,366
APA
Corporation
713,743
44,566
BP
plc
ADR
1,725,596
5,270
Cactus,
Inc.
264,607
6,850
California
Resources
Corporation
383,668
10,205
Cheniere
Energy,
Inc.
1,693,622
3,188
Chesapeake
Energy
Corporation
274,901
32,104
Chevron
Corporation
5,413,376
3,535
Chord
Energy
Corporation
572,917
673
Civitas
Resources,
Inc.
54,426
3,259
Comstock
Resources,
Inc.
35,947
Shares
Common
Stock
(25.7%)
Value
Energy
(1.0%)
-
continued
29,505
ConocoPhillips
$
3,534,699
6,020
CVR
Energy,
Inc.
204,861
30,209
Devon
Energy
Corporation
1,440,969
88,655
Enterprise
Products
Partners,
LP
2,426,487
4,254
Evolution
Petroleum
Corporation
29,097
75,466
Exxon
Mobil
Corporation
8,873,292
10,549
Gran
Tierra
Energy,
Inc.
g
73,210
285,595
Halliburton
Company
11,566,598
3,605
Helmerich
&
Payne,
Inc.
151,987
8,093
HF
Sinclair
Corporation
460,734
26,401
International
Seaways,
Inc.
1,188,045
94,694
Liberty
Energy,
Inc.
1,753,733
12,779
Magnolia
Oil
&
Gas
Corporation
292,767
13,668
Marathon
Oil
Corporation
365,619
47,490
Marathon
Petroleum
Corporation
7,187,137
64,810
Matador
Resources
Company
3,854,899
19,736
Murphy
Oil
Corporation
895,028
65,312
NOV,
Inc.
1,365,021
1,787
ONEOK,
Inc.
113,349
11,953
Ovintiv,
Inc.
568,604
33,443
Par
Pacific
Holdings,
Inc.
g
1,201,941
9,029
Patterson-UTI
Energy,
Inc.
124,961
16,952
PBF
Energy,
Inc.
907,441
14,555
Phillips
66
1,748,783
53,069
Pioneer
Natural
Resources
Company
12,181,989
106,338
ProPetro
Holding
Corporation
g
1,130,373
47,448
RPC,
Inc.
424,185
28,343
SM
Energy
Company
1,123,800
5,886
Solaris
Oilfield
Infrastructure,
Inc.
62,745
68,266
Talos
Energy,
Inc.
g
1,122,293
316,450
TechnipFMC
plc
6,436,593
32,501
U.S.
Silica
Holdings,
Inc.
g
456,314
46,886
Viper
Energy
Partners,
LP
1,307,182
10,876
Williams
Companies,
Inc.
366,412
Total
86,073,951
Financials
(3.6%)
16,726
Allstate
Corporation
1,863,444
19,498
Ally
Financial,
Inc.
520,207
17,418
Amalgamated
Financial
Corporation
299,938
6,988
Amerant
Bancorp,
Inc.
121,871
94,660
American
Express
Company
14,122,325
5,732
American
Financial
Group,
Inc.
640,092
32,632
American
International
Group,
Inc.
1,977,499
29,296
Ameriprise
Financial,
Inc.
9,658,305
2,133
Ameris
Bancorp
81,886
14,198
Annaly
Capital
Management,
Inc.
267,064
149
Apollo
Global
Management,
Inc.
13,374
5,833
Arch
Capital
Group,
Ltd.
g
464,948
15,828
Arthur
J.
Gallagher
&
Company
3,607,676
10,121
Artisan
Partners
Asset
Management,
Inc.
378,728
29,650
Associated
Banc-Corp
507,312
2,807
Assurant,
Inc.
403,029
7,018
Assured
Guaranty,
Ltd.
424,729
1,522
Atlantic
Union
Bankshares
Corporation
43,803
2,683
Axis
Capital
Holdings,
Ltd.
151,241
1,088
Axos
Financial,
Inc.
g
41,192
25,384
Banc
of
California,
Inc.
f
314,254
166,706
Bank
of
America
Corporation
4,564,410
3,779
Bank
of
Hawaii
Corporation
f
187,779
15,395
Bank
of
Marin
Bancorp
281,421
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
217
Shares
Common
Stock
(25.7%)
Value
Financials
(3.6%)
-
continued
5,545
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
$
150,159
72,304
Bank
of
New
York
Mellon
Corporation
3,083,766
6,904
Bank
OZK
255,931
7,498
BankFinancial
Corporation
64,633
17,794
BankUnited,
Inc.
403,924
11,105
Banner
Corporation
470,630
2,413
BayCom
Corporation
46,354
14,117
BCB
Bancorp,
Inc.
157,263
24,933
Berkshire
Hathaway,
Inc.
g
8,734,030
16,233
Berkshire
Hills
Bancorp,
Inc.
325,472
4,207
BlackRock,
Inc.
2,719,783
4,600
Block,
Inc.
g
203,596
893
BOK
Financial
Corporation
71,422
13,032
Bridgewater
Bancshares,
Inc.
g
123,543
14,126
Brighthouse
Financial,
Inc.
g
691,326
23,463
Brookline
Bancorp,
Inc.
213,748
10,858
Business
First
Bancshares,
Inc.
203,696
3,543
Byline
Bancorp,
Inc.
69,833
11,410
Cadence
Bank
242,120
14,218
Capital
One
Financial
Corporation
1,379,857
56,974
Carlyle
Group,
Inc.
1,718,336
2,000
Cathay
General
Bancorp
69,520
48,634
Central
Pacific
Financial
Corporation
811,215
1,294
Central
Valley
Community
Bancorp
18,258
53,683
Charles
Schwab
Corporation
2,947,197
32,567
Chubb,
Ltd.
6,779,798
28,281
Cincinnati
Financial
Corporation
2,892,864
35,072
Citigroup,
Inc.
1,442,511
36,696
Citizens
Financial
Group,
Inc.
983,453
11,929
CNB
Financial
Corporation
216,034
36,111
Columbia
Banking
System,
Inc.
733,053
54,598
Comerica,
Inc.
2,268,547
8,986
Commerce
Bancshares,
Inc.
431,148
1,675
Community
Bank
System,
Inc.
70,702
19,069
Community
Trust
Bancorp,
Inc.
653,304
10,482
ConnectOne
Bancorp,
Inc.
186,894
4,663
CrossFirst
Bankshares,
Inc.
g
47,050
4,493
Cullen/Frost
Bankers,
Inc.
409,807
9,777
Customers
Bancorp,
Inc.
g
336,818
6,677
CVB
Financial
Corporation
110,638
27,341
Dime
Community
Bancshares,
Inc.
545,726
13,056
Discover
Financial
Services
1,131,041
22,176
Eagle
Bancorp,
Inc.
475,675
15,969
East
West
Bancorp,
Inc.
841,726
4,401
Eastern
Bankshares,
Inc.
55,189
19,127
Ellington
Residential
Mortgage
REIT
118,779
5,844
Employers
Holdings,
Inc.
233,468
10,904
Enova
International,
Inc.
g
554,686
10,072
Enterprise
Financial
Services
Corporation
377,700
5,760
Equity
Bancshares,
Inc.
138,643
3,492
Euronet
Worldwide,
Inc.
g
277,195
582
EVERTEC,
Inc.
21,639
23,372
F.N.B.
Corporation
252,184
23,008
FactSet
Research
Systems,
Inc.
10,060,478
70,926
Federated
Hermes,
Inc.
2,402,264
8,202
Fidelity
National
Information
Services,
Inc.
453,325
6,084
Fifth
Third
Bancorp
154,108
16,041
Financial
Institutions,
Inc.
269,970
8,353
First
Bancorp/Puerto
Rico
112,431
164
First
Citizens
BancShares,
Inc./NC
226,336
Shares
Common
Stock
(25.7%)
Value
Financials
(3.6%)
-
continued
3,896
First
Commonwealth
Financial
Corporation
$
47,570
1,046
First
Financial
Bancorp
20,502
7,040
First
Financial
Bankshares,
Inc.
176,845
7,550
First
Financial
Corporation
255,266
34,590
First
Foundation,
Inc.
210,307
3,235
First
Hawaiian,
Inc.
58,392
67,050
First
Horizon
Corporation
738,891
7,260
First
Internet
Bancorp
117,685
1,899
First
Interstate
BancSystem,
Inc.
47,361
5,528
First
Merchants
Corporation
153,789
2,421
First
Mid-Illinois
Bancshares,
Inc.
64,302
14,996
First
of
Long
Island
Corporation
172,604
16,673
Fiserv,
Inc.
g
1,883,382
1,069
Five
Star
Bancorp
21,444
2,400
FleetCor
Technologies,
Inc.
g
612,816
20,331
Flushing
Financial
Corporation
266,946
35,889
Fulton
Financial
Corporation
434,616
39,057
Genworth
Financial,
Inc.
g
228,874
15,467
Glacier
Bancorp,
Inc.
440,810
2,729
Global
Life,
Inc.
296,724
7,781
Global
Payments,
Inc.
897,850
11,482
Great
Southern
Bancorp,
Inc.
550,217
10,683
Green
Dot
Corporation
g
148,814
30,286
Hamilton
Lane,
Inc.
2,739,066
4,127
Hancock
Whitney
Corporation
152,658
48,384
Hanmi
Financial
Corporation
785,272
8,244
Hanover
Insurance
Group,
Inc.
914,919
8,779
Hartford
Financial
Services
Group,
Inc.
622,519
36,366
Heartland
Financial
USA,
Inc.
1,070,251
42,523
Heritage
Commerce
Corporation
360,170
30,479
Heritage
Financial
Corporation
497,113
12,277
Home
BancShares,
Inc.
257,080
23,869
HomeStreet,
Inc.
f
185,940
17,432
Hometrust
Bancshares,
Inc.
377,751
101,710
Hope
Bancorp,
Inc.
900,134
25,371
Horizon
Bancorp,
Inc.
270,962
47,544
Houlihan
Lokey,
Inc.
5,092,913
26,108
Huntington
Bancshares,
Inc.
271,523
7,584
Independent
Bank
Corporation
372,299
17,935
Independent
Bank
Corporation/MI
328,928
152,730
Intercontinental
Exchange,
Inc.
16,803,355
1,650
International
Bancshares
Corporation
71,511
34,932
Invesco
Mortgage
Capital,
Inc.
349,669
30,873
Invesco,
Ltd.
448,276
131,811
J.P.
Morgan
Chase
&
Company
19,115,231
1,777
Jack
Henry
&
Associates,
Inc.
268,576
67,944
Janus
Henderson
Group
plc
1,754,314
11,993
Kearny
Financial
Corporation/MD
83,112
25,249
KeyCorp
271,679
28,411
Kinsale
Capital
Group,
Inc.
11,765,847
13,147
Lazard,
Ltd.
407,688
7,300
Loews
Corporation
462,163
14,348
M&T
Bank
Corporation
1,814,305
4,109
Marsh
&
McLennan
Companies,
Inc.
781,943
86,748
Mastercard,
Inc.
34,344,401
3,429
Mercantile
Bank
Corporation
105,990
27,131
MetLife,
Inc.
1,706,811
15,274
Metropolitan
Bank
Holding
Corporation
g
554,141
52,432
MFA
Financial,
Inc.
503,872
205,190
MGIC
Investment
Corporation
3,424,621
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
218
Shares
Common
Stock
(25.7%)
Value
Financials
(3.6%)
-
continued
2,814
Mid
Penn
Bancorp,
Inc.
$
56,646
16,484
Midland
States
Bancorp,
Inc.
338,581
28,712
MidWestOne
Financial
Group,
Inc.
583,715
15,258
Morgan
Stanley
1,246,121
35,657
Mr.
Cooper
Group,
Inc.
g
1,909,789
9,753
MSCI,
Inc.
5,004,069
2,275
MVB
Financial
Corporation
51,370
84,024
Nasdaq,
Inc.
4,082,726
30,540
Navient
Corporation
525,899
64,498
New
York
Community
Bancorp,
Inc.
731,407
76,149
NMI
Holdings,
Inc.
g
2,062,876
887
Northrim
BanCorp,
Inc.
35,143
65,186
NU
Holdings,
Ltd./Cayman
Islands
g
472,599
22,099
OceanFirst
Financial
Corporation
319,773
9,952
OFG
Bancorp
297,167
18,967
Old
National
Bancorp
275,780
15,691
Old
Republic
International
Corporation
422,716
8,174
Old
Second
Bancorp,
Inc.
111,248
43,137
OneMain
Holdings,
Inc.
1,729,362
2,387
Pacific
Premier
Bancorp,
Inc.
51,941
290,227
PayPal
Holdings,
Inc.
g
16,966,670
4,692
PCB
Bancorp
72,491
3,754
PennyMac
Financial
Services,
Inc.
250,016
5,319
Pinnacle
Financial
Partners,
Inc.
356,586
1,261
PNC
Financial
Services
Group,
Inc.
154,813
10,377
Popular,
Inc.
653,855
16,766
Premier
Financial
Corporation
286,028
1,424
PROG
Holdings,
Inc.
g
47,291
6,578
Prosperity
Bancshares,
Inc.
359,027
12,545
Provident
Financial
Services,
Inc.
191,813
4,908
Prudential
Financial,
Inc.
465,720
42,849
Radian
Group,
Inc.
1,075,938
103,422
Raymond
James
Financial,
Inc.
10,386,671
8,438
Regions
Financial
Corporation
145,134
112
Reinsurance
Group
of
America,
Inc.
16,261
209,570
Rithm
Capital
Corporation
1,946,905
27,824
RLI
Corporation
3,781,003
4,008
S&T
Bancorp,
Inc.
108,537
14,952
Sandy
Spring
Bancorp,
Inc.
320,421
53,114
SEI
Investments
Company
3,199,056
9,922
Shore
Bancshares,
Inc.
104,379
2,910
Simmons
First
National
Corporation
49,354
2,177
SmartFinancial,
Inc.
46,522
1,238
Southern
First
Bancshares,
Inc.
g
33,352
5,637
SouthState
Corporation
379,708
8,430
Synchrony
Financial
257,705
24,377
Synovus
Financial
Corporation
677,681
3,798
T.
Rowe
Price
Group,
Inc.
398,296
7,401
Territorial
Bancorp,
Inc.
67,275
30,268
TPG,
Inc.
911,672
31,505
Tradeweb
Markets,
Inc.
2,526,701
62,264
Triumph
Financial,
Inc.
g
4,034,085
13,559
TrustCo
Bank
Corporation
NY
370,025
16,506
Trustmark
Corporation
358,675
38,492
Two
Harbors
Investment
Corporation
509,634
5,471
U.S.
Bancorp
180,871
3,916
UMB
Financial
Corporation
242,988
8,305
United
Bankshares,
Inc.
229,135
5,621
United
Community
Banks,
Inc.
142,830
Shares
Common
Stock
(25.7%)
Value
Financials
(3.6%)
-
continued
15,411
Univest
Financial
Corporation
$
267,843
48,060
Unum
Group
2,364,071
38,589
Valley
National
Bancorp
330,322
23,419
Veritex
Holdings,
Inc.
420,371
57,973
Virtu
Financial,
Inc.
1,001,194
4,726
Visa,
Inc.
1,087,027
4,732
Voya
Financial,
Inc.
314,441
4,722
W.R.
Berkley
Corporation
299,800
2,870
Walker
&
Dunlop,
Inc.
213,069
16,004
Washington
Federal,
Inc.
410,022
226
Webster
Financial
Corporation
9,110
127,583
Wells
Fargo
&
Company
5,213,041
8,372
Westamerica
Bancorporation
362,089
95,561
Western
Alliance
Bancorp
4,392,939
170,587
Western
Union
Company
2,248,337
1,840
WEX,
Inc.
g
346,086
288
Willis
Towers
Watson
plc
60,180
4,056
Wintrust
Financial
Corporation
306,228
1,318
WSFS
Financial
Corporation
48,107
31,754
Zions
Bancorp
NA
1,107,897
Total
313,876,559
Health
Care
(3.4%)
71,899
Abbott
Laboratories
6,963,418
4,324
ACADIA
Pharmaceuticals,
Inc.
g
90,112
31,547
Agilent
Technologies,
Inc.
3,527,586
3,054
Agiliti,
Inc.
g
19,820
11,388
Agios
Pharmaceuticals,
Inc.
g
281,853
25,065
Aldeyra
Therapeutics,
Inc.
g
167,434
1,206
Align
Technology,
Inc.
g
368,216
58,040
Alkermes
plc
g
1,625,700
326
Alnylam
Pharmaceuticals,
Inc.
g
57,735
43,993
Amgen,
Inc.
11,823,559
17,331
Amicus
Therapeutics,
Inc.
g
210,745
7,388
Amphastar
Pharmaceuticals,
Inc.
g
339,774
7,559
Anika
Therapeutics,
Inc.
g
140,824
14,784
Apellis
Pharmaceuticals,
Inc.
g
562,383
11,684
Argenx
SE
ADR
g
5,744,205
19,461
Ascendis
Pharma
AS
ADR
g
1,822,328
14,904
AstraZeneca
plc
ADR
1,009,299
8,119
Avanos
Medical,
Inc.
g
164,166
167,245
Avantor,
Inc.
g
3,525,525
37,449
Azenta,
Inc.
g
1,879,565
100,637
Baxter
International,
Inc.
3,798,040
8,847
Biogen,
Inc.
g
2,273,767
446
BioMarin
Pharmaceutical,
Inc.
g
39,462
571
Bio-Rad
Laboratories,
Inc.
g
204,675
52,974
Bio-Techne
Corporation
3,605,940
2,182
Blueprint
Medicines
Corporation
g
109,580
6,632
Bruker
Corporation
413,174
2,762
Cardinal
Health,
Inc.
239,797
1,206
Cencora,
Inc.
217,044
6,394
Centene
Corporation
g
440,419
7,865
Charles
River
Laboratories
International,
Inc.
g
1,541,383
8,667
Cigna
Group
2,479,369
13,460
Codexis,
Inc.
g
25,439
20,047
Community
Health
Systems,
Inc.
g
58,136
8,783
Cooper
Companies,
Inc.
2,793,082
41,073
CVS
Health
Corporation
2,867,717
78,745
Danaher
Corporation
19,536,634
22,024
Deciphera
Pharmaceuticals,
Inc.
g
280,145
82,943
Dentsply
Sirona,
Inc.
2,833,333
31,105
Dexcom,
Inc.
g
2,902,096
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
219
Shares
Common
Stock
(25.7%)
Value
Health
Care
(3.4%)
-
continued
46,032
Dynavax
Technologies
Corporation
g
$
679,893
38,714
Edwards
Lifesciences
Corporation
g
2,682,106
266,209
Elanco
Animal
Health,
Inc.
g
2,992,189
5,881
Elevance
Health,
Inc.
2,560,705
3,376
Eli
Lilly
&
Company
1,813,351
4,346
Enanta
Pharmaceuticals,
Inc.
g
48,545
67,002
Enovis
Corporation
g
3,533,015
23,536
Exelixis,
Inc.
g
514,262
31,876
Gilead
Sciences,
Inc.
2,388,787
7,679
Globus
Medical,
Inc.
g
381,262
23,302
GoodRx
Holdings,
Inc.
g
131,190
69,387
Halozyme
Therapeutics,
Inc.
g
2,650,583
6,371
HCA
Healthcare,
Inc.
1,567,139
21,777
Hologic,
Inc.
g
1,511,324
8,690
ICON
plc
g
2,139,913
261
IDEXX
Laboratories,
Inc.
g
114,127
36,452
Immunocore
Holdings
plc
ADR
g
1,891,859
65,472
Inmode,
Ltd.
g
1,994,277
8,800
Inspire
Medical
Systems,
Inc.
g
1,746,272
43,218
Intuitive
Surgical,
Inc.
g
12,632,189
1,945
IQVIA
Holding,
Inc.
g
382,679
3,978
Jazz
Pharmaceuticals,
Inc.
g
514,912
23,013
Johnson
&
Johnson
3,584,275
1,344
Kiniksa
Pharmaceuticals,
Ltd.
g
23,345
10,041
Kura
Oncology,
Inc.
g
91,574
52,484
Laboratory
Corporation
of
America
Holdings
10,551,908
50,287
Lantheus
Holdings,
Inc.
g
3,493,941
324
Ligand
Pharmaceuticals,
Inc.
g
19,414
4,683
LivaNova
plc
g
247,637
377,309
Maravai
LifeSciences
Holdings,
Inc.
g
3,773,090
1,507
Masimo
Corporation
g
132,134
150
Medpace
Holdings,
Inc.
g
36,320
212,535
Medtronic
plc
16,654,243
92,054
Merck
&
Company,
Inc.
9,476,959
33,254
Molina
Healthcare,
Inc.
g
10,903,654
10,543
Myriad
Genetics,
Inc.
g
169,110
30,810
Natera,
Inc.
g
1,363,343
9,641
National
HealthCare
Corporation
616,831
121,324
Novo
Nordisk
AS
ADR
g
11,033,205
10,122
OraSure
Technologies,
Inc.
g
60,023
12,521
Pacira
Pharmaceuticals,
Inc.
g
384,144
13,494
Pediatrix
Medical
Group,
Inc.
g
171,509
92,278
Pfizer,
Inc.
3,060,861
78,803
Phreesia,
Inc.
g
1,472,040
118,785
Point
Biopharma
Global,
Inc.
g
792,296
164,591
Progyny,
Inc.
g
5,599,386
14,286
Qiagen
NV
g
578,583
1,912
QuidelOrtho
Corporation
g
139,652
145,005
R1
RCM,
Inc.
g
2,185,225
30,011
Repligen
Corporation
g
4,772,049
18,016
Revance
Therapeutics,
Inc.
g
206,644
20,872
Rocket
Pharmaceuticals,
Inc.
g
427,667
4,186
Royalty
Pharma
plc
113,608
15,505
Sarepta
Therapeutics,
Inc.
g
1,879,516
158,713
scPharmaceuticals,
Inc.
g
1,130,037
9,504
Sensus
Healthcare,
Inc.
g
26,326
13,460
ShockWave
Medical,
Inc.
g
2,679,886
3,272
Teleflex,
Inc.
642,654
17,076
TG
Therapeutics,
Inc.
g
142,755
13,664
Thermo
Fisher
Scientific,
Inc.
6,916,307
58,056
UnitedHealth
Group,
Inc.
29,271,255
Shares
Common
Stock
(25.7%)
Value
Health
Care
(3.4%)
-
continued
8,015
Vanda
Pharmaceuticals,
Inc.
g
$
34,625
20,136
Veeva
Systems,
Inc.
g
4,096,669
29,556
Veracyte,
Inc.
g
659,985
77,286
Vericel
Corporation
g
2,590,627
4,666
Vertex
Pharmaceuticals,
Inc.
g
1,622,555
16,336
Viemed
Healthcare,
Inc.
g
109,941
22,791
Vor
BioPharma,
Inc.
f,g
48,317
12,661
Waters
Corporation
g
3,471,773
2,455
West
Pharmaceutical
Services,
Inc.
921,141
7,678
Zentalis
Pharmaceuticals,
Inc.
g
154,021
17,632
Zimmer
Biomet
Holdings,
Inc.
1,978,663
124,592
Zoetis,
Inc.
21,676,516
Total
304,042,297
Industrials
(2.8%)
10,346
A.O.
Smith
Corporation
684,181
5,552
Acuity
Brands,
Inc.
945,561
30,536
Advanced
Drainage
Systems,
Inc.
3,475,913
13,786
AGCO
Corporation
1,630,608
38,942
Air
Lease
Corporation
1,534,704
42,663
Alaska
Air
Group,
Inc.
g
1,581,944
2,593
American
Woodmark
Corporation
g
196,057
37,195
AMETEK,
Inc.
5,495,933
2,087
Apogee
Enterprises,
Inc.
98,256
20,801
Armstrong
World
Industries,
Inc.
1,497,672
68,229
ASGN,
Inc.
g
5,572,945
23,527
Automatic
Data
Processing,
Inc.
5,660,126
851
Axon
Enterprise,
Inc.
g
169,340
8,567
AZZ,
Inc.
390,484
101,836
Badger
Infrastructure
Solutions,
Ltd.
2,600,914
6,585
Barnes
Group,
Inc.
223,692
24,281
Beacon
Roofing
Supply,
Inc.
g
1,873,765
5,110
Boise
Cascade
Company
526,534
6,499
Builders
FirstSource,
Inc.
g
809,061
14,383
Carlisle
Companies,
Inc.
3,728,937
2,222
Caterpillar,
Inc.
606,606
27,768
Chart
Industries,
Inc.
g
4,696,124
3,703
Cimpress
plc
g
259,247
3,318
Cintas
Corporation
1,595,991
118,982
CNH
Industrial
NV
1,439,682
740
Columbus
McKinnon
Corporation
25,833
51,043
Conduent
Incorporated
g
177,630
5,636
CSW
Industrials,
Inc.
987,653
197,236
CSX
Corporation
6,065,007
20,508
Cummins,
Inc.
4,685,258
10,414
Curtiss-Wright
Corporation
2,037,291
5,545
Daseke,
Inc.
g
28,446
8,295
Deere
&
Company
3,130,367
46,936
Delta
Air
Lines,
Inc.
1,736,632
10,819
Donaldson
Company,
Inc.
645,245
70
Dover
Corporation
9,766
12,869
EMCOR
Group,
Inc.
2,707,509
520
Equifax,
Inc.
95,254
188,105
ExlService
Holdings,
Inc.
g
5,274,464
4,103
Expeditors
International
of
Washington,
Inc.
470,327
231,766
Fastenal
Company
12,663,694
31,273
Ferguson
plc
5,143,470
118,135
First
Advantage
Corporation
1,629,082
32,985
Flowserve
Corporation
1,311,813
7,072
Fluor
Corporation
g
259,542
2,878
Forrester
Research,
Inc.
g
83,174
18,391
Fortune
Brands
Innovations,
Inc.
1,143,185
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
220
Shares
Common
Stock
(25.7%)
Value
Industrials
(2.8%)
-
continued
9,781
Gates
Industrial
Corporation
plc
g
$
113,557
10,287
General
Dynamics
Corporation
2,273,118
8,637
Gibraltar
Industries,
Inc.
g
583,084
319
GMS,
Inc.
g
20,406
1,412
Gorman-Rupp
Company
46,455
5,023
Greenbrier
Companies,
Inc.
200,920
3,515
Griffon
Corporation
139,440
805
Heidrick
&
Struggles
International,
Inc.
20,141
41,315
Helios
Technologies,
Inc.
2,292,156
6,444
Herc
Holdings,
Inc.
766,449
20,636
Hillman
Solutions
Corporation
g
170,247
7,414
Honeywell
International,
Inc.
1,369,662
212,588
Howmet
Aerospace,
Inc.
9,832,195
4,210
Hubbell,
Inc.
1,319,456
3,682
IDEX
Corporation
765,930
1,593
Ingersoll
Rand,
Inc.
101,506
9,616
Interface,
Inc.
94,333
273,010
Janus
International
Group,
Inc.
g
2,921,207
5,685
JB
Hunt
Transport
Services,
Inc.
1,071,736
50,789
JetBlue
Airways
Corporation
g
233,629
18,374
Johnson
Controls
International
plc
977,681
16,583
Kennametal,
Inc.
412,585
11,224
L3Harris
Technologies,
Inc.
1,954,323
23,020
Lincoln
Electric
Holdings,
Inc.
4,184,806
3,859
ManpowerGroup,
Inc.
282,942
36,189
Masco
Corporation
1,934,302
34,166
Masterbrand,
Inc.
g
415,117
6,459
Matson,
Inc.
573,042
3,682
Maximus,
Inc.
274,972
40,278
Middleby
Corporation
g
5,155,584
5,128
Miller
Industries,
Inc.
201,069
1,542
Moog,
Inc.
174,184
9,493
MSC
Industrial
Direct
Company,
Inc.
931,738
2,309
MYR
Group,
Inc.
g
311,161
725
National
Presto
Industries,
Inc.
52,534
25,609
Northrop
Grumman
Corporation
11,272,826
22,168
nVent
Electric
plc
1,174,682
8,956
Old
Dominion
Freight
Line,
Inc.
3,664,258
59,536
Oshkosh
Corporation
5,681,520
3,928
Otis
Worldwide
Corporation
315,458
47,594
Owens
Corning,
Inc.
6,492,298
17,671
PACCAR,
Inc.
1,502,388
28,110
Parker-Hannifin
Corporation
10,949,407
1,463
Paycom
Software,
Inc.
379,312
1,627
Paylocity
Holding
Corporation
g
295,626
86,719
Pentair
plc
5,615,055
1,366
Quanta
Services,
Inc.
255,538
69,992
RB
Global,
Inc.
4,374,500
26,514
Regal
Rexnord
Corporation
3,788,320
5,247
Republic
Services,
Inc.
747,750
9,863
Resideo
Technologies,
Inc.
g
155,835
11,552
Saia,
Inc.
g
4,605,205
10,065
Schneider
National,
Inc.
278,700
20,429
Simpson
Manufacturing
Company,
Inc.
3,060,468
9,375
SiteOne
Landscape
Supply,
Inc.
g
1,532,344
22,649
SkyWest,
Inc.
g
949,899
968
Snap-On,
Inc.
246,898
24,829
Southwest
Airlines
Company
672,121
15,280
Standex
International
Corporation
2,226,143
2,771
Sterling
Construction
Company,
Inc.
g
203,613
3,155
Tennant
Company
233,943
Shares
Common
Stock
(25.7%)
Value
Industrials
(2.8%)
-
continued
14,696
Terex
Corporation
$
846,784
9,685
Textron,
Inc.
756,786
35,739
Timken
Company
2,626,459
8,185
Titan
International,
Inc.
g
109,925
7,602
Titan
Machinery,
Inc.
g
202,061
5,719
Trane
Technologies
plc
1,160,442
45,124
TransUnion
3,239,452
12,860
Trex
Company,
Inc.
g
792,562
341,227
Uber
Technologies,
Inc.
g
15,693,030
165
UniFirst
Corporation/MA
26,897
16,138
United
Parcel
Service,
Inc.
2,515,430
10,051
United
Rentals,
Inc.
4,468,373
1,955
Valmont
Industries,
Inc.
469,611
4,445
Vertiv
Holdings
Company
165,354
16,256
Wabash
National
Corporation
343,327
103,768
WillScot
Mobile
Mini
Holdings
Corporation
g
4,315,711
Total
248,182,897
Information
Technology
(6.7%)
41,378
8x8,
Inc.
g
104,273
43,728
Adobe,
Inc.
g
22,296,907
161,656
Advanced
Micro
Devices,
Inc.
g
16,621,470
3,038
Alarm.com
Holdings,
Inc.
g
185,743
5,265
Alpha
and
Omega
Semiconductor,
Ltd.
g
157,108
2,563
American
Software,
Inc.
29,372
16,318
Amkor
Technology,
Inc.
368,787
78,567
Amphenol
Corporation
6,598,842
727
ANSYS,
Inc.
g
216,319
389,683
Apple,
Inc.
66,717,626
89,373
Applied
Materials,
Inc.
12,373,692
16,738
Arista
Networks,
Inc.
g
3,078,620
15,920
Autodesk,
Inc.
g
3,294,007
897
Broadcom,
Inc.
745,030
141,343
Calix,
Inc.
g
6,479,163
1,190
CDW
Corporation
240,094
10,700
Ciena
Corporation
g
505,682
527,604
Cisco
Systems,
Inc.
28,363,991
66,758
Cognex
Corporation
2,833,210
354
Cognizant
Technology
Solutions
Corporation
23,980
6,046
Cohu,
Inc.
g
208,224
50,458
CommScope
Holding
Company,
Inc.
g
169,539
341
CommVault
Systems,
Inc.
g
23,055
2,516
Corning,
Inc.
76,663
10,407
Crane
NXT
Company
578,317
4,816
Datadog,
Inc.
g
438,689
40,682
Descartes
Systems
Group,
Inc.
g
2,985,245
8,051
DocuSign,
Inc.
g
338,142
24,322
Dolby
Laboratories,
Inc.
1,927,762
159,034
Dropbox,
Inc.
g
4,330,496
60,733
Dynatrace
Holdings,
LLC
g
2,838,053
2,452
Elastic
NV
g
199,200
1,295
Enphase
Energy,
Inc.
g
155,594
25,900
Entegris,
Inc.
2,432,269
10,136
EPAM
Systems,
Inc.
g
2,591,674
1,645
F5,
Inc.
g
265,075
81
Fair
Isaac
Corporation
g
70,351
19,878
Five9,
Inc.
g
1,278,155
111,730
Flex,
Ltd.
g
3,014,475
1,363
FormFactor,
Inc.
g
47,623
114,528
Fortinet,
Inc.
g
6,720,503
41
Gartner,
Inc.
g
14,088
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
221
Shares
Common
Stock
(25.7%)
Value
Information
Technology
(6.7%)
-
continued
12,793
Gilat
Satellite
Networks,
Ltd.
g
$
82,259
4,981
GoDaddy,
Inc.
g
370,985
182,294
Grid
Dynamics
Holdings,
Inc.
g
2,220,341
75,098
Guidewire
Software,
Inc.
g
6,758,820
105,759
Hackett
Group,
Inc.
2,494,855
35,767
Hewlett
Packard
Enterprise
Company
621,273
338
HP,
Inc.
8,687
6,070
HubSpot,
Inc.
g
2,989,475
752
Insight
Enterprises,
Inc.
g
109,416
7,410
IPG
Photonics
Corporation
g
752,411
6,686
JFrog,
Ltd.
g
169,557
66,835
Juniper
Networks,
Inc.
1,857,345
6,904
Keysight
Technologies,
Inc.
g
913,468
6,277
KLA
Corporation
2,879,009
14,324
Knowles
Corporation
g
212,138
30,914
Kyndryl
Holdings,
Inc.
g
466,801
5,656
Lam
Research
Corporation
3,545,011
73,393
Lattice
Semiconductor
Corporation
g
6,306,660
7,260
Littelfuse,
Inc.
1,795,543
21,396
LiveRamp
Holding,
Inc.
g
617,061
12,132
Marvell
Technology,
Inc.
656,705
9,266
MaxLinear,
Inc.
g
206,169
22,282
Microchip
Technology,
Inc.
1,739,110
385,374
Microsoft
Corporation
121,681,841
9,820
MKS
Instruments,
Inc.
849,823
8,743
Monolithic
Power
Systems,
Inc.
4,039,266
577
Motorola
Solutions,
Inc.
157,082
12,433
NCR
Corporation
g
335,318
8,933
NetApp,
Inc.
677,836
1,221
NICE,
Ltd.
ADR
g
207,570
30,226
Nova,
Ltd.
g
3,398,611
148,303
NVIDIA
Corporation
64,510,322
3,114
ON
Semiconductor
Corporation
g
289,446
820
OSI
Systems,
Inc.
g
96,793
83,021
PagerDuty,
Inc.
g
1,867,142
23,563
Palo
Alto
Networks,
Inc.
g
5,524,110
31,213
PDF
Solutions,
Inc.
g
1,011,301
3,159
Plexus
Corporation
g
293,724
26,862
PTC,
Inc.
g
3,805,808
19,026
Q2
Holdings,
Inc.
g
613,969
3,320
Qorvo,
Inc.
g
316,960
198,026
QUALCOMM,
Inc.
21,992,768
26,868
Rackspace
Technology,
Inc.
f,g
63,140
8,019
Rapid7,
Inc.
g
367,110
10,909
RingCentral,
Inc.
g
323,234
3,444
Roper
Industries,
Inc.
1,667,860
112,592
Salesforce,
Inc.
g
22,831,406
61,612
Samsung
Electronics
Company,
Ltd.
3,114,741
2,759
Sanmina
Corporation
g
149,759
41,233
ServiceNow,
Inc.
g
23,047,598
12,694
Silicon
Laboratories,
Inc.
g
1,471,108
7,718
Skyworks
Solutions,
Inc.
760,918
17,923
SolarWinds
Corporation
g
169,193
8,289
Sprinklr,
Inc.
g
114,720
151,684
Sprout
Social,
Inc.
g
7,565,998
8,898
SPS
Commerce,
Inc.
g
1,518,088
11,554
Synopsys,
Inc.
g
5,302,939
39,242
TE
Connectivity,
Ltd.
4,847,564
844
Teledyne
Technologies,
Inc.
g
344,842
16,093
Teradata
Corporation
g
724,507
207
Teradyne,
Inc.
20,795
40,927
Texas
Instruments,
Inc.
6,507,802
Shares
Common
Stock
(25.7%)
Value
Information
Technology
(6.7%)
-
continued
3,608
Trimble,
Inc.
g
$
194,327
208,043
TTM
Technologies,
Inc.
g
2,679,594
36,181
Tyler
Technologies,
Inc.
g
13,970,931
52,564
Unisys
Corporation
g
181,346
9,037
Universal
Display
Corporation
1,418,719
21,162
Upland
Software,
Inc.
g
97,768
95,787
Varonis
Systems,
Inc.
g
2,925,335
10,215
Verint
Systems,
Inc.
g
234,843
21,775
VeriSign,
Inc.
g
4,410,091
35,431
Viavi
Solutions,
Inc.
g
323,839
37,969
Vishay
Intertechnology,
Inc.
938,594
41,154
Vontier
Corporation
1,272,482
37,990
Wolfspeed,
Inc.
g
1,447,419
44,665
Workiva,
Inc.
g
4,526,351
7,240
Xerox
Holdings
Corporation
113,596
30,691
Yext,
Inc.
g
194,274
5,153
Zoom
Video
Communications,
Inc.
g
360,401
Total
587,583,129
Materials
(0.6%)
1,749
Albemarle
Corporation
297,400
4,965
Alcoa
Corporation
144,283
2,199
AptarGroup,
Inc.
274,963
59,993
Axalta
Coating
Systems,
Ltd.
g
1,613,812
5,958
Ball
Corporation
296,589
1,536
Berry
Plastics
Group,
Inc.
95,094
3,213
Carpenter
Technology
Corporation
215,946
14,991
Celanese
Corporation
1,881,670
27,661
CF
Industries
Holdings,
Inc.
2,371,654
59,685
Cleveland-Cliffs,
Inc.
g
932,876
15,780
Commercial
Metals
Company
779,690
10,011
Eagle
Materials,
Inc.
1,667,032
18,304
Eastman
Chemical
Company
1,404,283
597
Hawkins,
Inc.
35,133
30,252
Huntsman
Corporation
738,149
9,688
Ingevity
Corporation
g
461,246
10,851
Innospec,
Inc.
1,108,972
18,602
Ivanhoe
Mines,
Ltd.
g
159,416
3,510
Kaiser
Aluminum
Corporation
264,163
9,362
Linde
plc
3,485,941
16,713
LSB
Industries,
Inc.
g
170,974
849
LyondellBasell
Industries
NV
80,400
6,539
Martin
Marietta
Materials,
Inc.
2,684,129
3,346
Myers
Industries,
Inc.
59,994
13,122
Newmont
Corporation
484,858
78,957
Nucor
Corporation
12,344,927
20,251
O-I
Glass,
Inc.
g
338,799
11,331
Orion
SA
241,124
4,853
PPG
Industries,
Inc.
629,919
397,390
Ranpak
Holdings
Corporation
g
2,161,802
1,046
Reliance
Steel
&
Aluminum
Company
274,292
38,648
RPM
International,
Inc.
3,664,217
7,809
Ryerson
Holding
Corporation
227,164
10,723
Schnitzer
Steel
Industries,
Inc.
298,635
5,154
Steel
Dynamics,
Inc.
552,612
60,313
Summit
Materials,
Inc.
g
1,878,147
26,541
SunCoke
Energy,
Inc.
269,391
9,892
TimkenSteel
Corporation
g
214,854
3,646
TriMas
Corporation
90,275
5,279
Trinseo
plc
43,129
162,878
Tronox
Holdings
plc
2,189,080
1,633
United
States
Lime
&
Minerals,
Inc.
328,233
61,045
United
States
Steel
Corporation
1,982,742
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
222
Shares
Common
Stock
(25.7%)
Value
Materials
(0.6%)
-
continued
4,538
Vulcan
Materials
Company
$
916,767
Total
50,354,776
Real
Estate
(0.8%)
102,038
Agree
Realty
Corporation
5,636,579
2,160
Alexandria
Real
Estate
Equities,
Inc.
216,216
42,756
Apartment
Income
REIT
Corporation
1,312,609
23,679
AvalonBay
Communities,
Inc.
4,066,631
12,091
Camden
Property
Trust
1,143,567
9,314
CareTrust
REIT,
Inc.
190,937
35,000
CBRE
Group,
Inc.
g
2,585,100
8,158
Centerspace
491,601
17,404
Chatham
Lodging
Trust
166,556
59,389
Compass,
Inc.
g
172,228
78,207
CubeSmart
2,982,033
30,098
Cushman
and
Wakefield
plc
g
229,347
3,224
EastGroup
Properties,
Inc.
536,893
53,521
Elme
Communities
730,026
42,010
EPR
Properties
1,745,095
120,275
Equity
Commonwealth
2,209,452
31,077
Equity
Residential
1,824,531
24,582
Essential
Properties
Realty
Trust,
Inc.
531,709
2,044
Essex
Property
Trust,
Inc.
433,512
11,072
Extra
Space
Storage,
Inc.
1,346,134
33,776
First
Industrial
Realty
Trust,
Inc.
1,607,400
16,083
FirstService
Corporation
2,340,720
56,246
Four
Corners
Property
Trust,
Inc.
1,248,099
12,357
Getty
Realty
Corporation
342,660
93,061
Healthcare
Realty
Trust,
Inc.
1,421,041
98,573
Host
Hotels
&
Resorts,
Inc.
1,584,068
7,342
Howard
Hughes
Holdings,
Inc.
g
544,262
83,741
Independence
Realty
Trust,
Inc.
1,178,236
11,751
Kennedy-Wilson
Holdings,
Inc.
173,210
4,424
LTC
Properties,
Inc.
142,143
133,309
LXP
Industrial
Trust
1,186,450
21,287
Mid-America
Apartment
Communities,
Inc.
2,738,573
9,989
National
Storage
Affiliates
Trust
317,051
47,622
NetSTREIT
Corporation
741,951
15,151
NNN
REIT,
Inc.
535,436
44,458
Pebblebrook
Hotel
Trust
604,184
17,446
Public
Storage
4,597,370
8,440
Realty
Income
Corporation
421,494
25,917
Regency
Centers
Corporation
1,540,506
59,982
Rexford
Industrial
Realty,
Inc.
2,960,112
4,126
RMR
Group,
Inc.
101,169
58,548
Sabra
Health
Care
REIT,
Inc.
816,159
63,595
SBA
Communications
Corporation
12,729,811
106,755
Service
Properties
Trust
820,946
8,484
Terreno
Realty
Corporation
481,891
118,645
UDR,
Inc.
4,232,067
5,168
Welltower,
Inc.
423,363
Total
74,381,128
Utilities
(0.4%)
5,001
AES
Corporation
76,015
5,010
Alliant
Energy
Corporation
242,735
69,159
American
Electric
Power
Company,
Inc.
5,202,140
8,254
Artesian
Resources
Corporation
346,586
4,665
Avista
Corporation
151,006
22,934
Black
Hills
Corporation
1,160,231
Shares
Common
Stock
(25.7%)
Value
Utilities
(0.4%)
-
continued
6,453
CenterPoint
Energy,
Inc.
$
173,263
597
Clearway
Energy,
Inc.
11,892
24,903
Constellation
Energy
Corporation
2,716,419
21,601
Duke
Energy
Corporation
1,906,504
6,231
Edison
International
394,360
23,792
Entergy
Corporation
2,200,760
57,951
Evergy,
Inc.
2,938,116
2,419
NextEra
Energy
Partners,
LP
f
71,844
315,691
NiSource,
Inc.
7,791,254
46,955
NorthWestern
Corporation
2,256,657
107,646
OGE
Energy
Corporation
3,587,841
14,295
Pinnacle
West
Capital
Corporation
1,053,256
32,884
Portland
General
Electric
Company
1,331,144
23,810
Public
Service
Enterprise
Group,
Inc.
1,355,027
2,313
Spire,
Inc.
130,870
100,599
UGI
Corporation
2,313,777
Total
37,411,697
Total
Common
Stock
(cost
$1,747,323,250)
2,263,385,623
Principal
Amount
Long-Term
Fixed
Income
(
20.5%
)
Value
Asset-Backed
Securities
(0.7%)
510
Asset
Backed
Trust
$
2,500,000
3.967%, 
5/25/2061,
Ser.
2021-NPL1,
Class
A2
h,i
2,127,562
720
East
CLO
I,
Ltd.
2,500,000
8.576%, 
(TSFR3M
+
3.250%),
1/20/2036,
Ser.
2022-1A,
Class
B
b,h
2,514,197
825,000
9.576%, 
(TSFR3M
+
4.250%),
1/20/2036,
Ser.
2022-1A,
Class
C
b,h
831,282
Access
Group,
Inc.
157,898
5.929%, 
(SOFR30A
+
0.614%),
2/25/2036,
Ser.
2013-1,
Class
A
b,h
155,117
Affirm
Asset
Securitization
Trust
1,000,000
6.610%, 
1/18/2028,
Ser.
2023-A,
Class
1A
h
995,020
AMSR
Trust
1,400,000
2.352%, 
6/17/2038,
Ser.
2021-SFR1,
Class
C
h
1,165,703
4,500,000
1.877%, 
8/17/2038,
Ser.
2021-SFR2,
Class
C
h
3,935,106
1,750,000
2.517%, 
12/17/2038,
Ser.
2021-SFR4,
Class
C
h
1,528,986
Ares
XL
CLO,
Ltd.
2,750,000
8.370%, 
(TSFR3M
+
3.062%),
1/15/2029,
Ser.
2016-40A,
Class
CRR
b,h
2,691,895
Business
Jet
Securities,
LLC
673,104
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
h
631,055
CarVal
CLO
II,
Ltd.
1,600,000
7.588%, 
(TSFR3M
+
2.262%),
4/20/2032,
Ser.
2019-1A,
Class
CR
b,h
1,576,773
CarVal
CLO
VIII-C,
Ltd.
1,750,000
7.646%, 
(TSFR3M
+
2.300%),
10/22/2035,
Ser.
2022-2A,
Class
A
b,h
1,759,630
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
223
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Asset-Backed
Securities
(0.7%)
-
continued
$
1,100,000
8.346%, 
(TSFR3M
+
3.000%),
10/22/2035,
Ser.
2022-2A,
Class
B1
b,h
$
1,106,238
CMFT
Net
Lease
Master
Issuer,
LLC
1,699,926
2.090%, 
7/20/2051,
Ser.
2021-1,
Class
A1
h
1,401,721
Commonbond
Student
Loan
Trust
192,638
5.934%, 
(TSFR1M
+
0.614%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,h
187,631
Dryden
36
Senior
Loan
Fund
2,325,000
7.620%, 
(TSFR3M
+
2.312%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,h
2,289,293
Foundation
Finance
Trust
1,087,218
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
h
958,672
FRTKL
Trust
3,050,000
1.922%, 
9/17/2038,
Ser.
2021-SFR1,
Class
C
h
2,648,752
Goodgreen
2,084,421
3.860%, 
10/15/2054,
Ser.
2019-1A,
Class
A
h
1,867,551
Home
Partners
of
America
Trust
3,176,746
2.302%, 
12/17/2026,
Ser.
2021-2,
Class
B
h
2,793,634
2,616,040
2.078%, 
9/17/2041,
Ser.
2021-1,
Class
C
h
2,131,870
Laurel
Road
Prime
Student
Loan
Trust
50,251
2.810%, 
11/25/2042,
Ser.
2017-C,
Class
A2B
h
49,739
1,078,253
Zero
Coupon, 
11/25/2043,
Ser.
2018-D,
Class
A
b,h
999,559
Longfellow
Place
CLO,
Ltd.
1,300,000
7.870%, 
(TSFR3M
+
2.562%),
4/15/2029,
Ser.
2013-1A,
Class
CR3
b,h
1,296,389
Mercury
Financial
Credit
Card
Master
Trust
2,900,000
2.500%, 
9/21/2026,
Ser.
2022-1A,
Class
A
h
2,776,014
National
Collegiate
Trust
763,828
5.729%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,h
739,667
Oak
Street
Investment
2,186,356
1.850%, 
11/20/2050,
Ser.
2020-1A,
Class
A1
h
1,938,054
Preston
Ridge
Partners
Mortgage
Trust,
LLC
1,729,776
2.115%, 
1/25/2026,
Ser.
2021-1,
Class
A1
b,h
1,629,154
Pretium
Mortgage
Credit
Partners,
LLC
1,311,764
5.240%, 
4/25/2052,
Ser.
2022-NPL2,
Class
A1
h,i
1,274,609
914,916
2.240%, 
9/27/2060,
Ser.
2021-NPL1,
Class
A1
h,i
882,897
Progress
Residential
Trust
1,600,000
1.888%, 
5/17/2026,
Ser.
2021-SFR3,
Class
B
h
1,422,216
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Asset-Backed
Securities
(0.7%)
-
continued
$
4,750,000
1.855%, 
7/17/2038,
Ser.
2021-SFR6,
Class
C
h
$
4,153,474
Renaissance
Home
Equity
Loan
Trust
3,418,209
5.580%, 
11/25/2036,
Ser.
2006-3,
Class
AF2
i
1,208,620
Saxon
Asset
Securities
Trust
1,204,048
2.869%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
999,133
Tricon
Residential
Trust
2,000,000
2.244%, 
7/17/2038,
Ser.
2021-SFR1,
Class
B
h
1,784,604
Upstart
Securitization
Trust
1,029,862
6.590%, 
2/20/2033,
Ser.
2023-1,
Class
A
h
1,027,765
VCAT
Asset
Securitization,
LLC
1,450,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
h,i
1,306,425
Vericrest
Opportunity
Loan
Transferee
1,335,489
1.893%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A1
h,i
1,240,692
982,915
2.116%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A1
h,i
914,467
1,100,000
4.949%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A2
h,i
831,714
1,000,000
5.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
h,i
753,450
Wind
River
CLO,
Ltd.
1,650,000
7.588%, 
(TSFR3M
+
2.262%),
7/20/2030,
Ser.
2013-1A,
Class
BRR
b,h
1,639,301
Total
64,165,631
Basic
Materials
(0.2%)
Alcoa
Nederland
Holding
BV
483,000
5.500%, 
12/15/2027
h
458,799
Anglo
American
Capital
plc
750,000
3.875%, 
3/16/2029
h
672,074
ATI,
Inc.
340,000
7.250%, 
8/15/2030
337,450
Cascades,
Inc./Cascades
USA,
Inc.
370,000
5.125%, 
1/15/2026
h
354,184
Chemours
Company
510,000
5.750%, 
11/15/2028
h
442,629
Cleveland-Cliffs,
Inc.
450,000
5.875%, 
6/1/2027
f
428,315
290,000
4.625%, 
3/1/2029
h
252,609
Consolidated
Energy
Finance
SA
854,000
5.625%, 
10/15/2028
h
705,618
EIDP,
Inc.
616,000
4.500%, 
5/15/2026
599,999
First
Quantum
Minerals,
Ltd.
869,000
6.875%, 
10/15/2027
h
833,699
FMC
Corporation
624,000
5.150%, 
5/18/2026
606,239
Glencore
Funding,
LLC
616,000
3.375%, 
9/23/2051
h
369,737
944,000
4.000%, 
3/27/2027
h
886,089
619,000
6.125%, 
10/6/2028
e,h
617,937
Hecla
Mining
Company
220,000
7.250%, 
2/15/2028
212,848
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
224
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Basic
Materials
(0.2%)
-
continued
Hudbay
Minerals,
Inc.
$
510,000
4.500%, 
4/1/2026
h
$
477,144
Illuminate
Buyer,
LLC/Illuminate
Holdings
IV,
Inc.
375,000
9.000%, 
7/1/2028
h
354,168
International
Flavors
&
Fragrances,
Inc.
739,000
1.230%, 
10/1/2025
h
662,438
Methanex
Corporation
474,000
4.250%, 
12/1/2024
461,333
Mineral
Resources,
Ltd.
102,000
9.250%, 
10/1/2028
h
103,020
Mosaic
Company
780,000
4.050%, 
11/15/2027
f
732,159
Novelis
Corporation
200,000
3.250%, 
11/15/2026
h
178,619
290,000
4.750%, 
1/30/2030
h
250,980
200,000
3.875%, 
8/15/2031
h
159,717
Nutrien,
Ltd.
308,000
4.900%, 
3/27/2028
297,472
OCI
NV
353,000
4.625%, 
10/15/2025
h
333,745
Olin
Corporation
765,000
5.125%, 
9/15/2027
715,283
SCIL
IV,
LLC/SCIL
USA
Holdings,
LLC
521,000
5.375%, 
11/1/2026
h
476,047
SNF
Group
SACA
508,000
3.375%, 
3/15/2030
h
410,008
SunCoke
Energy,
Inc.
544,000
4.875%, 
6/30/2029
h
462,250
Taseko
Mines,
Ltd.
366,000
7.000%, 
2/15/2026
h
341,891
Unifrax
Escrow
Issuer
Corporation
463,000
5.250%, 
9/30/2028
h
329,723
United
States
Steel
Corporation
538,000
6.875%, 
3/1/2029
f
528,884
Total
15,053,107
Capital
Goods
(0.4%)
Advanced
Drainage
Systems,
Inc.
446,000
6.375%, 
6/15/2030
h
428,361
AECOM
860,000
5.125%, 
3/15/2027
814,510
Amsted
Industries,
Inc.
570,000
5.625%, 
7/1/2027
h
537,233
ARD
Finance
SA
144,000
6.500%, 
6/30/2027
h
108,639
Ardagh
Packaging
Finance
plc/
Ardagh
Holdings
USA,
Inc.
500,000
5.250%, 
8/15/2027
h
417,247
200,000
5.250%, 
8/15/2027
h
166,899
Boeing
Company
1,280,000
5.930%, 
5/1/2060
1,149,335
712,000
5.040%, 
5/1/2027
695,169
1,475,000
5.705%, 
5/1/2040
1,360,839
Bombardier,
Inc.
49,000
7.125%, 
6/15/2026
h
47,474
630,000
7.875%, 
4/15/2027
h
614,721
435,000
6.000%, 
2/15/2028
h
394,630
Brand
Industrial
Services,
Inc.
164,000
10.375%, 
8/1/2030
h
164,253
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Capital
Goods
(0.4%)
-
continued
Builders
FirstSource,
Inc.
$
330,000
5.000%, 
3/1/2030
h
$
294,230
Canpack
SA/Canpack
US,
LLC
700,000
3.125%, 
11/1/2025
h
645,737
Carrier
Global
Corporation
880,000
2.700%, 
2/15/2031
713,335
Chart
Industries,
Inc.
507,000
7.500%, 
1/1/2030
h
509,778
Clean
Harbors,
Inc.
674,000
6.375%, 
2/1/2031
h
655,378
Clydesdale
Acquisition
Holdings,
Inc.
68,000
6.625%, 
4/15/2029
h
63,226
136,000
8.750%, 
4/15/2030
h
116,642
CNH
Industrial
NV
484,000
3.850%, 
11/15/2027
450,470
Cornerstone
Building
Brands,
Inc.
348,000
6.125%, 
1/15/2029
h
263,817
Covanta
Holding
Corporation
276,000
4.875%, 
12/1/2029
h
226,430
CP
Atlas
Buyer,
Inc.
465,000
7.000%, 
12/1/2028
h
364,624
Crown
Cork
&
Seal
Company,
Inc.
434,000
7.375%, 
12/15/2026
440,510
Emerald
Debt
Merger
Sub,
LLC
510,000
6.625%, 
12/15/2030
h
490,964
GFL
Environmental,
Inc.
415,000
4.000%, 
8/1/2028
h
362,613
674,000
3.500%, 
9/1/2028
h
580,254
H&E
Equipment
Services,
Inc.
865,000
3.875%, 
12/15/2028
h
738,618
Herc
Holdings,
Inc.
480,000
5.500%, 
7/15/2027
h
453,914
Howmet
Aerospace,
Inc.
1,107,000
3.000%, 
1/15/2029
937,031
923,000
5.950%, 
2/1/2037
866,637
Ingersoll
Rand,
Inc.
151,000
5.700%, 
8/14/2033
145,732
John
Deere
Capital
Corporation
504,000
4.950%, 
7/14/2028
497,039
Lockheed
Martin
Corporation
544,000
4.500%, 
5/15/2036
495,781
374,000
6.150%, 
9/1/2036
392,322
Mauser
Packaging
Solutions
Holding
Company
269,000
9.250%, 
4/15/2027
h
235,129
MIWD
Holdco
II,
LLC
273,000
5.500%, 
2/1/2030
h
225,565
Mueller
Water
Products,
Inc.
286,000
4.000%, 
6/15/2029
h
249,079
Nesco
Holdings
II,
Inc.
525,000
5.500%, 
4/15/2029
h
460,688
New
Enterprise
Stone
and
Lime
Company,
Inc.
659,000
5.250%, 
7/15/2028
h
591,301
Nordson
Corporation
615,000
5.600%, 
9/15/2028
609,096
Northrop
Grumman
Corporation
1,225,000
3.850%, 
4/15/2045
912,081
OI
European
Group
BV
551,000
4.750%, 
2/15/2030
h
479,290
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
225
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Capital
Goods
(0.4%)
-
continued
Owens-Brockway
Glass
Container,
Inc.
$
272,000
6.625%, 
5/13/2027
h
$
265,168
Pactiv
Evergreen
Group
395,000
4.375%, 
10/15/2028
h
342,726
Parker-Hannifin
Corporation
1,538,000
4.500%, 
9/15/2029
1,455,748
PGT
Innovations,
Inc.
529,000
4.375%, 
10/1/2029
h
487,782
Regal
Rexnord
Corporation
770,000
6.050%, 
2/15/2026
h
761,416
Republic
Services,
Inc.
637,000
2.900%, 
7/1/2026
595,710
Roller
Bearing
Company
of
America,
Inc.
386,000
4.375%, 
10/15/2029
h
332,023
RTX
Corporation
500,000
4.125%, 
11/16/2028
466,228
900,000
4.450%, 
11/16/2038
757,182
Sealed
Air
Corporation
424,000
6.125%, 
2/1/2028
h
410,653
Silgan
Holdings,
Inc.
202,000
4.125%, 
2/1/2028
180,719
SRM
Escrow
Issuer,
LLC
785,000
6.000%, 
11/1/2028
h
724,917
Textron,
Inc.
1,010,000
3.375%, 
3/1/2028
913,282
Titan
Acquisition,
Ltd./Titan
Co-
Borrower,
LLC
220,000
7.750%, 
4/15/2026
h
215,600
Trane
Technologies
Financing,
Ltd.
775,000
3.500%, 
3/21/2026
735,586
TransDigm,
Inc.
500,000
6.250%, 
3/15/2026
h
491,290
1,583,000
5.500%, 
11/15/2027
1,482,242
Triumph
Group,
Inc.
434,000
9.000%, 
3/15/2028
h
429,142
United
Rentals
North
America,
Inc.
525,000
4.875%, 
1/15/2028
490,404
430,000
4.000%, 
7/15/2030
366,456
Veralto
Corporation
619,000
5.350%, 
9/18/2028
h
611,998
Waste
Management,
Inc.
612,000
4.875%, 
2/15/2034
579,180
Waste
Pro
USA,
Inc.
255,000
5.500%, 
2/15/2026
h
238,113
WESCO
Distribution,
Inc.
720,000
7.250%, 
6/15/2028
h
723,493
Total
35,423,679
Collateralized
Mortgage
Obligations
(0.9%)
Alternative
Loan
Trust
532,864
6.000%, 
8/1/2036,
Ser.
2006-24CB,
Class
A9
291,009
Arroyo
Mortgage
Trust
3,000,000
3.269%, 
12/25/2056,
Ser.
2022-1,
Class
A1B
h,i
2,498,402
BINOM
Securitization
Trust
1,298,826
2.370%, 
6/25/2056,
Ser.
2021-INV1,
Class
A2
b,h
1,090,150
CHNGE
Mortgage
Trust
2,371,421
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
h,i
2,358,181
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Collateralized
Mortgage
Obligations
(0.9%)
-
continued
$
2,804,216
6.000%, 
10/25/2057,
Ser.
2022-4,
Class
A1
h,i
$
2,729,544
Citicorp
Mortgage
Securities,
Inc.
1,491,562
6.000%, 
7/25/2037,
Ser.
2007-6,
Class
1A4
1,269,802
COLT
Mortgage
Loan
Trust
2,684,823
1.726%, 
11/25/2066,
Ser.
2021-5,
Class
A1
b,h
2,199,417
Countrywide
Alternative
Loan
Trust
742,452
3.784%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
b
598,948
1,705,132
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
615,813
Countrywide
Home
Loans,
Inc.
336,633
5.750%, 
4/25/2037,
Ser.
2007-3,
Class
A27
152,251
Credit
Suisse
Mortgage
Trust
1,500,000
3.346%, 
1/25/2067,
Ser.
2022-ATH1,
Class
A1B
b,h
1,263,216
2,450,000
4.000%, 
2/25/2067,
Ser.
2022-NQM2,
Class
A1B
b,h
2,070,065
1,410,638
6.567%, 
8/25/2067,
Ser.
2022-ATH3,
Class
A3
b,h
1,376,840
1,314,180
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
b,h
1,039,877
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
147,719
6.000%, 
10/25/2023,
Ser.
2006-AR5,
Class
23A
76,209
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
3,627,256
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
3,422,081
1,024,259
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
j
87,177
1,946,901
3.000%, 
3/15/2033,
Ser.
4180,
Class
PI
j
197,424
3,610,101
4.500%, 
10/15/2033,
Ser.
2695,
Class
BH
3,469,638
3,000,000
2.500%, 
12/15/2048,
Ser.
5094,
Class
BC
2,222,130
Federal
National
Mortgage
Association
-
REMIC
3,715,557
4.500%, 
6/25/2052,
Ser.
2022-43,
Class
MA
3,540,285
3,047,991
4.000%, 
7/25/2052,
Ser.
2022-37,
Class
PE
2,867,088
2,161,430
3.000%, 
12/25/2027,
Ser.
2012-137,
Class
AI
j
80,985
8,261,941
5.250%, 
7/25/2039,
Ser.
2022-72,
Class
CB
8,128,091
3,697,889
4.500%, 
1/25/2046,
Ser.
2022-68,
Class
BA
3,574,412
Flagstar
Mortgage
Trust
1,499,249
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
b,h
1,244,540
GCAT
Trust
2,104,190
1.855%, 
8/25/2066,
Ser.
2021-NQM6,
Class
A1
b,h
1,768,664
GS
Mortgage-Backed
Securities
Trust
2,881,233
3.000%, 
6/25/2052,
Ser.
2022-GR1,
Class
A2
b,h
2,273,474
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
226
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Collateralized
Mortgage
Obligations
(0.9%)
-
continued
J.P.
Morgan
Mortgage
Trust
$
2,909,264
2.500%, 
2/25/2052,
Ser.
2021-INV7,
Class
A2A
b,h
$
2,195,243
1,916,350
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
b,h
1,490,420
LHOME
Mortgage
Trust
672,813
2.090%, 
2/25/2026,
Ser.
2021-RTL1,
Class
A1
b,h
669,415
839,749
2.090%, 
6/25/2026,
Ser.
2021-RTL2,
Class
A1
h,i
826,083
Mello
Mortgage
Capital
Acceptance
2,847,438
2.500%, 
8/25/2051,
Ser.
2021-INV2,
Class
A3
b,h
2,148,591
Merrill
Lynch
Alternative
Note
Asset
Trust
341,433
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
129,563
New
Residential
Mortgage
Loan
Trust
6,278,053
2.500%, 
9/25/2051,
Ser.
2021-INV2,
Class
A2
b,h
4,737,230
New
York
Mortgage
Trust
2,247,591
2.239%, 
5/25/2026,
Ser.
2021-BPL1,
Class
A1
h,i
2,226,612
Onslow
Bay
Financial,
LLC
1,550,000
3.688%, 
1/25/2062,
Ser.
2022-NQM3,
Class
A1B
b,h
1,264,014
Palisades
Mortgage
Loan
Trust
4,200,000
2.857%, 
6/25/2026,
Ser.
2021-RTL1,
Class
A1
h,i
4,074,141
Residential
Accredit
Loans,
Inc.
Trust
718,674
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
593,169
ROC
Securities
Trust
Series
2,600,000
2.487%, 
8/25/2026,
Ser.
2021-RTL1,
Class
A1
b,h
2,529,810
Sequoia
Mortgage
Trust
648,820
3.482%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
b
440,797
Toorak
Mortgage
Corporation,
Ltd.
1,907,332
2.240%, 
6/25/2024,
Ser.
2021-1,
Class
A1
h,i
1,854,596
TRK
Trust
2,065,494
1.966%, 
11/25/2056,
Ser.
2021-INV2,
Class
A1
b,h
1,668,109
Vericrest
Opportunity
Loan
Transferee
1,354,258
2.116%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A1
h,i
1,281,527
Verus
Securitization
Trust
1,139,653
2.286%, 
11/25/2066,
Ser.
2021-8,
Class
A2
b,h
919,752
Total
81,554,785
Commercial
Mortgage-Backed
Securities
(1.0%)
BANK
2022-BNK39
39,867,498
0.533%, 
2/15/2055,
Ser.
2022-BNK39,
Class
XA
b,j
1,068,780
BANK5
2023-5YR2
2,350,000
7.379%, 
6/15/2028,
Ser.
2023-5YR2,
Class
AS
b
2,378,960
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Commercial
Mortgage-Backed
Securities
(1.0%)
-
continued
BBCMS
Mortgage
Trust
$
21,930,511
0.839%, 
2/15/2055,
Ser.
2022-C14,
Class
XA
b,j
$
871,413
2,500,000
5.451%, 
4/15/2056,
Ser.
2023-C19,
Class
A5
2,419,287
17,961,818
1.325%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
b,j
1,355,004
18,615,042
1.949%, 
10/15/2053,
Ser.
2020-C8,
Class
XA
b,j
1,600,780
Benchmark
Mortgage
Trust
3,165,000
2.669%, 
12/15/2054,
Ser.
2021-B31,
Class
A5
2,496,917
BFLD
Trust
1,100,000
7.147%, 
(TSFR1M
+
1.814%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,h
647,638
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
8,000,000
3.000%, 
6/25/2032,
Ser.
K147,
Class
A2
b,k
6,743,334
5,475,000
3.500%, 
7/25/2032,
Ser.
K148,
Class
A2
b,k
4,799,052
8,750,000
3.530%, 
8/25/2032,
Ser.
K149,
Class
A2
k
7,676,967
1,300,000
3.710%, 
9/25/2032,
Ser.
K-150,
Class
A2
b,k
1,155,513
8,000,000
3.800%, 
10/25/2032,
Ser.
K-151,
Class
A2
b,k
7,155,149
9,250,000
3.780%, 
11/25/2032,
Ser.
K-152,
Class
A2
b,k
8,259,057
8,400,000
3.820%, 
12/25/2032,
Ser.
K-153,
Class
A2
b,k
7,513,468
1,150,000
4.350%, 
1/25/2033,
Ser.
K-154,
Class
A2
b,k
1,071,817
8,700,000
4.200%, 
5/25/2033,
Ser.
K-157,
Class
A2
k
8,001,715
Federal
Home
Loan
Mortgage
Corporation
Multifamily
WI
Certificates
4,500,000
4.500%, 
11/25/2033,
Ser.
K159,
Class
A2
4,233,777
6,500,000
4.500%, 
12/25/2033,
Ser.
K160,
Class
A2
6,087,560
MIRA
Trust
2,750,000
6.755%, 
6/10/2038,
Ser.
2023-MILE,
Class
A
h
2,693,378
Morgan
Stanley
Capital
I
Trust
19,781,544
1.960%, 
7/15/2053,
Ser.
2020-HR8,
Class
XA
b,j
1,801,489
MSWF
Commercial
Mortgage
Trust
1,835,000
5.752%, 
5/15/2033,
Ser.
2023-1,
Class
A5
1,807,356
SCOTT
Trust
3,000,000
5.910%, 
3/15/2040,
Ser.
2023-SFS,
Class
A
h
2,907,881
Total
84,746,292
Communications
Services
(0.6%)
Activision
Blizzard,
Inc.
1,231,000
2.500%, 
9/15/2050
733,051
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
227
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Communications
Services
(0.6%)
-
continued
Allen
Media,
LLC/Allen
Media
Co-
Issuer,
Inc.
$
461,000
10.500%, 
2/15/2028
h
$
263,678
Altice
Financing
SA
235,000
5.750%, 
8/15/2029
f,h
192,590
Altice
France
SA/France
265,000
8.125%, 
2/1/2027
h
235,001
866,000
5.500%, 
10/15/2029
h
622,754
AMC
Networks,
Inc.
200,000
5.000%, 
4/1/2024
197,238
624,000
4.250%, 
2/15/2029
382,883
American
Tower
Corporation
500,000
3.375%, 
10/15/2026
465,484
374,000
5.500%, 
3/15/2028
366,927
619,000
5.800%, 
11/15/2028
614,341
793,000
2.900%, 
1/15/2030
658,839
412,000
5.650%, 
3/15/2033
396,042
AT&T,
Inc.
923,000
3.650%, 
6/1/2051
595,145
1,282,000
3.500%, 
9/15/2053
792,082
1,500,000
2.300%, 
6/1/2027
1,328,170
825,000
4.350%, 
3/1/2029
767,764
621,000
5.400%, 
2/15/2034
581,193
1,265,000
4.900%, 
8/15/2037
1,095,851
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
900,000
5.125%, 
5/1/2027
h
838,545
404,000
5.000%, 
2/1/2028
h
366,888
634,000
6.375%, 
9/1/2029
h
591,183
750,000
4.750%, 
3/1/2030
h
629,588
271,000
4.250%, 
2/1/2031
h
215,726
394,000
4.750%, 
2/1/2032
h
315,200
425,000
4.250%, 
1/15/2034
h
312,918
Cengage
Learning,
Inc.
19,000
9.500%, 
6/15/2024
h
19,016
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
920,000
4.200%, 
3/15/2028
844,411
1,400,000
3.500%, 
6/1/2041
885,330
Cimpress
plc
340,000
7.000%, 
6/15/2026
318,209
Clear
Channel
Outdoor
Holdings,
Inc.
102,000
7.500%, 
6/1/2029
f,h
77,993
Clear
Channel
Worldwide
Holdings,
Inc.
804,000
5.125%, 
8/15/2027
h
713,946
Comcast
Corporation
923,000
5.350%, 
5/15/2053
841,593
786,000
2.887%, 
11/1/2051
463,221
780,000
4.250%, 
10/15/2030
718,513
640,000
4.400%, 
8/15/2035
565,284
1,305,000
4.750%, 
3/1/2044
1,095,451
Connect
Finco
SARL/Connect
US
Finco,
LLC
261,000
6.750%, 
10/1/2026
h
243,434
CSC
Holdings,
LLC
1,280,000
5.375%, 
2/1/2028
h
1,042,063
476,000
6.500%, 
2/1/2029
h
394,336
Deutsche
Telekom
International
Finance
BV
1,535,000
8.750%, 
6/15/2030
1,758,254
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Communications
Services
(0.6%)
-
continued
DIRECTV
Financing,
LLC/DIRECTV
Financing
Co-Obligor,
Inc.
$
944,000
5.875%, 
8/15/2027
h
$
834,666
Discovery
Communications,
LLC
1,369,000
4.900%, 
3/11/2026
1,336,171
DISH
DBS
Corporation
176,000
5.875%, 
11/15/2024
163,819
243,000
5.250%, 
12/1/2026
h
206,514
174,000
7.375%, 
7/1/2028
109,635
324,000
5.750%, 
12/1/2028
h
249,075
269,000
5.125%, 
6/1/2029
149,128
DISH
Network
Corporation
244,000
11.750%, 
11/15/2027
h
245,822
Frontier
Communications
Holdings,
LLC
567,000
5.875%, 
10/15/2027
h
515,668
205,000
6.750%, 
5/1/2029
h
157,722
127,000
8.750%, 
5/15/2030
h
120,583
GCI,
LLC
520,000
4.750%, 
10/15/2028
h
448,500
Gray
Escrow
II,
Inc.
718,000
5.375%, 
11/15/2031
h
469,886
Gray
Television,
Inc.
490,000
4.750%, 
10/15/2030
h
324,611
Hughes
Satellite
Systems
Corporation
270,000
6.625%, 
8/1/2026
230,850
Iliad
Holding
SASU
627,000
6.500%, 
10/15/2026
h
589,075
Lamar
Media
Corporation
274,000
3.625%, 
1/15/2031
223,135
LCPR
Senior
Secured
Financing
DAC
405,000
6.750%, 
10/15/2027
h
371,992
Level
3
Financing,
Inc.
744,000
4.625%, 
9/15/2027
h
535,060
430,000
4.250%, 
7/1/2028
h
267,904
243,000
10.500%, 
5/15/2030
h
244,601
McGraw-Hill
Education,
Inc.
376,000
5.750%, 
8/1/2028
h
324,394
36,000
8.000%, 
8/1/2029
h
31,230
Meta
Platforms,
Inc.
462,000
5.600%, 
5/15/2053
437,264
616,000
4.800%, 
5/15/2030
600,009
1,230,000
3.850%, 
8/15/2032
1,091,249
Netflix,
Inc.
500,000
5.875%, 
11/15/2028
502,830
552,000
5.375%, 
11/15/2029
h
538,604
500,000
4.875%, 
6/15/2030
h
473,354
News
Corporation
487,000
3.875%, 
5/15/2029
h
418,820
NTT
Finance
Corporation
1,077,000
4.372%, 
7/27/2027
h
1,037,437
Omnicom
Group,
Inc.
750,000
3.600%, 
4/15/2026
712,382
435,000
4.200%, 
6/1/2030
389,624
Outfront
Media
Capital,
LLC/
Outfront
Media
Capital
Corporation
279,000
6.250%, 
6/15/2025
h
273,343
205,000
4.625%, 
3/15/2030
f,h
161,153
Playtika
Holding
Corporation
428,000
4.250%, 
3/15/2029
h
357,380
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
228
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Communications
Services
(0.6%)
-
continued
Radiate
Holdco,
LLC/Radiate
Finance,
Inc.
$
285,000
6.500%, 
9/15/2028
h
$
149,625
Scripps
Escrow
II,
Inc.
192,000
3.875%, 
1/15/2029
h
144,391
Sirius
XM
Radio,
Inc.
685,000
5.000%, 
8/1/2027
h
625,679
365,000
4.000%, 
7/15/2028
h
311,552
Sprint
Capital
Corporation
1,553,000
8.750%, 
3/15/2032
1,796,582
Take-Two
Interactive
Software,
Inc.
620,000
4.950%, 
3/28/2028
599,206
TEGNA,
Inc.
720,000
4.625%, 
3/15/2028
622,800
Telecom
Italia
Capital
SA
155,000
6.000%, 
9/30/2034
129,236
Telecom
Italia
SPA/Milano
213,000
5.303%, 
5/30/2024
h
209,419
Telesat
Canada/Telesat,
LLC
270,000
4.875%, 
6/1/2027
h
174,962
100,000
6.500%, 
10/15/2027
h
51,000
T-Mobile
USA,
Inc.
1,539,000
3.600%, 
11/15/2060
952,035
1,100,000
4.375%, 
4/15/2040
883,881
United
States
Cellular
Corporation
460,000
6.700%, 
12/15/2033
447,350
Uniti
Group,
LP/Uniti
Group
Finance,
Inc./CSL
Capital,
LLC
657,000
4.750%, 
4/15/2028
h
536,495
Univision
Communications,
Inc.
523,000
6.625%, 
6/1/2027
h
487,084
Verizon
Communications,
Inc.
923,000
3.000%, 
11/20/2060
499,759
2,689,000
2.650%, 
11/20/2040
1,702,187
1,400,000
3.400%, 
3/22/2041
992,518
VTR
Finance
NV
350,000
6.375%, 
7/15/2028
h
130,632
VZ
Secured
Financing
BV
462,000
5.000%, 
1/15/2032
h
362,926
Warnermedia
Holdings,
Inc.
1,077,000
5.141%, 
3/15/2052
800,255
922,000
4.054%, 
3/15/2029
821,466
923,000
5.050%, 
3/15/2042
713,837
YPSO
Finance
BIS
SA
217,000
10.500%, 
5/15/2027
h
135,339
Total
52,963,841
Consumer
Cyclical
(0.6%)
1011778
B.C.,
ULC/New
Red
Finance,
Inc.
780,000
4.375%, 
1/15/2028
h
703,052
Adient
Global
Holdings,
Ltd.
277,000
4.875%, 
8/15/2026
h
261,250
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation
285,000
6.625%, 
7/15/2026
h
270,049
295,000
6.000%, 
6/1/2029
h
219,919
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation/
Atlas
Luxco
4
SARL
405,000
4.625%, 
6/1/2028
h
337,511
355,000
4.625%, 
6/1/2028
h
294,720
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Consumer
Cyclical
(0.6%)
-
continued
Allison
Transmission,
Inc.
$
275,000
3.750%, 
1/30/2031
h
$
222,310
Amazon.com,
Inc.
521,000
3.875%, 
8/22/2037
444,745
American
Axle
&
Manufacturing,
Inc.
820,000
6.500%, 
4/1/2027
778,532
Arko
Corporation
328,000
5.125%, 
11/15/2029
h
264,545
Ashton
Woods
USA,
LLC/Ashton
Woods
Finance
Company
320,000
4.625%, 
8/1/2029
h
270,037
181,000
4.625%, 
4/1/2030
h
148,166
Boyd
Gaming
Corporation
490,000
4.750%, 
6/15/2031
h
416,978
Boyne
USA,
Inc.
185,000
4.750%, 
5/15/2029
h
161,811
Brookfield
Residential
Properties,
Inc./Brookfield
Residential
US,
LLC
435,000
6.250%, 
9/15/2027
h
391,639
Caesars
Entertainment,
Inc.
755,000
6.250%, 
7/1/2025
h
744,666
170,000
8.125%, 
7/1/2027
h
170,810
529,000
4.625%, 
10/15/2029
h
448,095
Carnival
Corporation
323,000
7.625%, 
3/1/2026
h
314,209
797,000
5.750%, 
3/1/2027
h
721,464
200,000
4.000%, 
8/1/2028
h
173,415
Cedar
Fair,
LP
478,000
5.250%, 
7/15/2029
415,430
Churchill
Downs,
Inc.
325,000
4.750%, 
1/15/2028
h
293,163
202,000
6.750%, 
5/1/2031
h
190,890
Cinemark
USA,
Inc.
569,000
5.875%, 
3/15/2026
f,h
546,309
Clarios
Global,
LP/Clarios
US
Finance
Company,
Inc.
255,000
8.500%, 
5/15/2027
f,h
254,269
503,000
6.750%, 
5/15/2028
h
491,054
D.R.
Horton,
Inc.
333,000
2.600%, 
10/15/2025
311,587
Daimler
Trucks
Finance
North
America,
LLC
964,000
2.000%, 
12/14/2026
h
861,222
Expedia
Group,
Inc.
1,500,000
3.250%, 
2/15/2030
1,268,705
Ford
Motor
Company
784,000
3.250%, 
2/12/2032
604,200
442,000
6.100%, 
8/19/2032
f
416,325
Ford
Motor
Credit
Company,
LLC
1,003,000
2.300%, 
2/10/2025
940,781
1,060,000
4.134%, 
8/4/2025
1,004,969
845,000
2.700%, 
8/10/2026
754,049
350,000
7.350%, 
3/6/2030
354,437
Forestar
Group,
Inc.
340,000
3.850%, 
5/15/2026
h
308,615
General
Motors
Company
810,000
6.125%, 
10/1/2025
809,299
1,500,000
6.800%, 
10/1/2027
1,530,770
General
Motors
Financial
Company,
Inc.
500,000
1.500%, 
6/10/2026
441,800
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
229
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Consumer
Cyclical
(0.6%)
-
continued
GLP
Capital,
LP
$
1,153,000
5.750%, 
6/1/2028
$
1,105,497
Goodyear
Tire
&
Rubber
Company
330,000
5.000%, 
7/15/2029
284,236
Guitar
Center
Escrow
Issuer
II,
Inc.
158,000
8.500%, 
1/15/2026
f,h
137,225
Hanesbrands,
Inc.
455,000
4.875%, 
5/15/2026
f,h
417,126
Hilton
Domestic
Operating
Company,
Inc.
638,000
4.875%, 
1/15/2030
580,629
201,000
3.625%, 
2/15/2032
h
162,045
Hilton
Grand
Vacations
Borrower
Escrow,
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
Inc.
324,000
5.000%, 
6/1/2029
h
281,052
Home
Depot,
Inc.
505,000
5.400%, 
9/15/2040
483,394
1,140,000
4.250%, 
4/1/2046
914,854
970,000
3.900%, 
6/15/2047
740,564
Hyundai
Capital
America
1,150,000
1.800%, 
1/10/2028
h
963,441
Hyundai
Capital
Services,
Inc.
615,000
2.125%, 
4/24/2025
h
578,614
International
Game
Technology
plc
600,000
5.250%, 
1/15/2029
h
552,907
Jacobs
Entertainment,
Inc.
274,000
6.750%, 
2/15/2029
h
243,175
Jaguar
Land
Rover
Automotive
plc
531,000
5.500%, 
7/15/2029
h
454,003
KB
Home
450,000
4.800%, 
11/15/2029
396,000
Kia
Corporation
500,000
2.375%, 
2/14/2025
h
476,878
Kohl's
Corporation
584,000
4.625%, 
5/1/2031
392,471
825,000
5.550%, 
7/17/2045
463,955
L
Brands,
Inc.
780,000
6.625%, 
10/1/2030
h
731,258
180,000
6.875%, 
11/1/2035
160,755
Lennar
Corporation
1,073,000
4.750%, 
5/30/2025
1,049,703
Light
&
Wonder
International,
Inc.
610,000
7.250%, 
11/15/2029
h
597,800
Lowe's
Companies,
Inc.
616,000
5.625%, 
4/15/2053
559,892
1,500,000
2.625%, 
4/1/2031
1,213,344
Macy's
Retail
Holdings,
LLC
480,000
5.875%, 
4/1/2029
h
420,283
Marriott
International,
Inc./MD
1,025,000
4.625%, 
6/15/2030
944,188
Mattamy
Group
Corporation
376,000
5.250%, 
12/15/2027
h
343,149
McDonald's
Corporation
1,084,000
4.450%, 
3/1/2047
882,961
Michaels
Companies,
Inc.
326,000
5.250%, 
5/1/2028
f,h
260,181
NCL
Corporation,
Ltd.
185,000
3.625%, 
12/15/2024
h
177,658
137,000
5.875%, 
3/15/2026
h
126,484
340,000
5.875%, 
2/15/2027
h
323,329
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Consumer
Cyclical
(0.6%)
-
continued
Nissan
Motor
Acceptance
Company,
LLC
$
1,000,000
1.125%, 
9/16/2024
h
$
949,235
Nissan
Motor
Company,
Ltd.
177,000
3.522%, 
9/17/2025
h
167,169
184,000
4.345%, 
9/17/2027
h
167,955
229,000
4.810%, 
9/17/2030
h
197,511
Nordstrom,
Inc.
162,000
4.375%, 
4/1/2030
f
124,627
231,000
4.250%, 
8/1/2031
f
167,527
PENN
Entertainment,
Inc.
495,000
4.125%, 
7/1/2029
f,h
404,507
PetSmart,
Inc./PetSmart
Finance
Corporation
650,000
4.750%, 
2/15/2028
h
569,035
440,000
7.750%, 
2/15/2029
h
410,031
Prime
Security
Services
Borrower,
LLC/Prime
Finance,
Inc.
846,000
5.750%, 
4/15/2026
h
820,762
376,000
6.250%, 
1/15/2028
f,h
348,239
Realogy
Group,
LLC/Realogy
Group
Co-Issuer
Corporation
630,000
5.750%, 
1/15/2029
h
455,459
Royal
Caribbean
Cruises,
Ltd.
74,000
11.500%, 
6/1/2025
h
78,116
760,000
4.250%, 
7/1/2026
h
696,838
341,000
9.250%, 
1/15/2029
h
360,245
163,000
7.250%, 
1/15/2030
h
161,548
Scientific
Games
Holdings,
LP/
Scientific
Games
US
FinCo,
Inc.
57,000
6.625%, 
3/1/2030
h
49,163
SeaWorld
Parks
and
Entertainment,
Inc.
307,000
5.250%, 
8/15/2029
h
269,669
Six
Flags
Theme
Parks,
Inc.
181,000
7.000%, 
7/1/2025
h
180,541
Staples,
Inc.
386,000
7.500%, 
4/15/2026
h
317,425
243,000
10.750%, 
4/15/2027
h
142,653
Starbucks
Corporation
770,000
4.750%, 
2/15/2026
758,670
Station
Casinos,
LLC
381,000
4.625%, 
12/1/2031
h
304,756
Target
Corporation
923,000
2.950%, 
1/15/2052
563,075
Tenneco,
Inc.
340,000
8.000%, 
11/17/2028
h
276,675
Toyota
Motor
Credit
Corporation
779,000
4.700%, 
1/12/2033
736,114
Tripadvisor,
Inc.
103,000
7.000%, 
7/15/2025
h
102,804
Uber
Technologies,
Inc.
385,000
6.250%, 
1/15/2028
h
376,478
VICI
Properties,
LP/VICI
Note
Company,
Inc.
1,634,000
4.625%, 
6/15/2025
h
1,577,937
616,000
5.750%, 
2/1/2027
h
596,330
391,000
3.750%, 
2/15/2027
h
354,799
Viking
Cruises,
Ltd.
658,000
5.875%, 
9/15/2027
h
600,557
Volkswagen
Group
of
America
Finance,
LLC
792,000
4.350%, 
6/8/2027
h
753,661
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
230
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Consumer
Cyclical
(0.6%)
-
continued
Wabash
National
Corporation
$
528,000
4.500%, 
10/15/2028
h
$
444,767
Walmart,
Inc.
924,000
4.500%, 
9/9/2052
793,718
Wyndham
Hotels
&
Resorts,
Inc.
280,000
4.375%, 
8/15/2028
h
251,491
Yum!
Brands,
Inc.
630,000
4.750%, 
1/15/2030
h
565,879
ZF
North
America
Capital,
Inc.
280,000
7.125%, 
4/14/2030
h
274,339
Total
53,345,153
Consumer
Non-Cyclical
(0.7%)
1375209
B.C.,
Ltd.
342,000
9.000%, 
1/30/2028
h
338,058
Abbott
Laboratories
1,445,000
4.750%, 
11/30/2036
1,372,815
175,000
6.000%, 
4/1/2039
183,921
AbbVie,
Inc.
625,000
2.950%, 
11/21/2026
580,007
1,475,000
4.300%, 
5/14/2036
1,293,736
550,000
4.850%, 
6/15/2044
477,249
775,000
4.875%, 
11/14/2048
677,263
AdaptHealth,
LLC
618,000
4.625%, 
8/1/2029
h
474,318
Albertsons
Companies,
Inc./
Safeway,
Inc./New
Albertsons,
LP/Albertsons,
LLC
641,000
4.625%, 
1/15/2027
h
605,244
702,000
3.500%, 
3/15/2029
h
598,515
Amgen,
Inc.
1,000,000
4.200%, 
2/22/2052
748,956
919,000
5.250%, 
3/2/2030
897,851
919,000
5.600%, 
3/2/2043
854,378
Anheuser-Busch
Companies,
LLC/Anheuser-Busch
InBev
Worldwide,
Inc.
1,414,000
4.700%, 
2/1/2036
1,295,982
Anheuser-Busch
InBev
Worldwide,
Inc.
1,740,000
4.375%, 
4/15/2038
1,508,454
923,000
5.550%, 
1/23/2049
884,043
Archer-Daniels-Midland
Company
1,188,000
2.700%, 
9/15/2051
712,591
AstraZeneca
plc
1,600,000
3.000%, 
5/28/2051
1,046,061
B&G
Foods,
Inc.
367,000
5.250%, 
4/1/2025
360,145
206,000
5.250%, 
9/15/2027
172,519
274,000
8.000%, 
9/15/2028
h
274,374
BAT
Capital
Corporation
308,000
7.750%, 
10/19/2032
325,336
620,000
7.079%, 
8/2/2043
594,718
Bausch
&
Lomb
Escrow
Corporation
103,000
8.375%, 
10/1/2028
h
103,306
Bausch
Health
Companies,
Inc.
189,000
5.500%, 
11/1/2025
h
167,380
809,000
4.875%, 
6/1/2028
h
460,067
360,000
11.000%, 
9/30/2028
h
244,242
Baxter
International,
Inc.
923,000
3.132%, 
12/1/2051
549,235
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Consumer
Non-Cyclical
(0.7%)
-
continued
Becton,
Dickinson
and
Company
$
324,000
3.794%, 
5/20/2050
$
233,438
900,000
3.700%, 
6/6/2027
843,425
BellRing
Brands,
Inc.
286,000
7.000%, 
3/15/2030
h
281,613
Bristol-Myers
Squibb
Company
1,543,000
3.550%, 
3/15/2042
1,158,304
Cargill,
Inc.
930,000
3.125%, 
5/25/2051
h
596,271
Catalent
Pharma
Solutions,
Inc.
341,000
3.125%, 
2/15/2029
f,h
279,687
Central
Garden
&
Pet
Company
650,000
4.125%, 
10/15/2030
541,914
Cheplapharm
Arzneimittel
GmbH
70,000
5.500%, 
1/15/2028
h
63,513
Chobani,
LLC/Chobani
Finance
Corporation,
Inc.
491,000
4.625%, 
11/15/2028
h
433,052
CHS/Community
Health
Systems,
Inc.
376,000
5.625%, 
3/15/2027
h
322,501
118,000
8.000%, 
12/15/2027
h
110,035
499,000
6.000%, 
1/15/2029
h
402,983
209,000
5.250%, 
5/15/2030
h
158,877
220,000
4.750%, 
2/15/2031
h
155,698
Constellation
Brands,
Inc.
930,000
3.600%, 
2/15/2028
855,462
600,000
2.875%, 
5/1/2030
503,554
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US,
LLC
490,000
4.750%, 
1/15/2029
h
441,867
340,000
6.625%, 
7/15/2030
h
331,956
CVS
Health
Corporation
1,386,000
5.625%, 
2/21/2053
1,245,732
693,000
5.125%, 
2/21/2030
666,544
1,310,000
4.875%, 
7/20/2035
1,171,289
Edgewell
Personal
Care
Company
380,000
5.500%, 
6/1/2028
h
351,025
Eli
Lilly
&
Company
459,000
4.950%, 
2/27/2063
416,439
Embecta
Corporation
158,000
6.750%, 
2/15/2030
h
129,165
Encompass
Health
Corporation
750,000
4.500%, 
2/1/2028
f
683,338
Energizer
Holdings,
Inc.
590,000
4.750%, 
6/15/2028
h
509,570
Fortrea
Holdings,
Inc.
264,000
7.500%, 
7/1/2030
h
256,876
General
Mills,
Inc.
246,000
4.950%, 
3/29/2033
230,496
Grifols
SA
476,000
4.750%, 
10/15/2028
h
405,842
HCA,
Inc.
1,059,000
3.500%, 
9/1/2030
895,941
HLF
Financing
SARL,
LLC/
Herbalife
International,
Inc.
901,000
4.875%, 
6/1/2029
h
639,710
Imperial
Brands
Finance
plc
1,600,000
3.875%, 
7/26/2029
h
1,408,638
Jazz
Securities
DAC
275,000
4.375%, 
1/15/2029
h
239,768
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
231
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Consumer
Non-Cyclical
(0.7%)
-
continued
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
Luxembourg
SARL
$
616,000
6.750%, 
3/15/2034
h
$
599,362
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
USA
Finance,
Inc.
307,000
4.375%, 
2/2/2052
204,025
612,000
5.500%, 
1/15/2030
571,325
845,000
3.000%, 
5/15/2032
637,453
Kenvue,
Inc.
1,240,000
5.350%, 
3/22/2026
h
1,237,057
Kimberly-Clark
Corporation
900,000
3.900%, 
5/4/2047
690,795
Kraft
Heinz
Foods
Company
694,000
3.875%, 
5/15/2027
653,800
180,000
5.200%, 
7/15/2045
157,268
1,000,000
4.375%, 
6/1/2046
779,242
Lamb
Weston
Holdings,
Inc.
289,000
4.125%, 
1/31/2030
h
247,138
Legacy
LifePoint
Health,
LLC
204,000
4.375%, 
2/15/2027
h
175,440
LifePoint
Health,
Inc.
208,000
11.000%, 
10/15/2030
h
208,000
Mattel,
Inc.
605,000
3.375%, 
4/1/2026
h
559,443
769,000
5.450%, 
11/1/2041
634,291
Medtronic,
Inc.
923,000
4.375%, 
3/15/2035
836,047
ModivCare
Escrow
Issuer,
Inc.
170,000
5.000%, 
10/1/2029
h
121,975
ModivCare,
Inc.
136,000
5.875%, 
11/15/2025
h
129,276
Mozart
Debt
Merger
Sub,
Inc.
485,000
3.875%, 
4/1/2029
h
410,030
328,000
5.250%, 
10/1/2029
f,h
283,489
Nestle
Holdings,
Inc.
1,079,000
5.250%, 
3/13/2026
h
1,076,395
Newell
Brands,
Inc.
889,000
4.700%, 
4/1/2026
837,787
Organon
&
Company/Organon
Foreign
Debt
Co-Issuer
BV
473,000
4.125%, 
4/30/2028
h
410,994
280,000
5.125%, 
4/30/2031
h
224,379
Owens
&
Minor,
Inc.
462,000
6.625%, 
4/1/2030
f,h
410,064
PepsiCo,
Inc.
610,000
4.200%, 
7/18/2052
503,978
Perrigo
Finance
Unlimited
Company
494,000
4.375%, 
3/15/2026
461,901
Pfizer
Investment
Enterprises
Pte,
Ltd.
1,386,000
5.300%, 
5/19/2053
1,287,805
462,000
4.750%, 
5/19/2033
436,718
611,000
5.110%, 
5/19/2043
561,110
Philip
Morris
International,
Inc.
924,000
4.875%, 
2/13/2026
908,830
615,000
5.125%, 
11/17/2027
602,202
619,000
5.500%, 
9/7/2030
601,909
923,000
5.375%, 
2/15/2033
874,853
Post
Holdings,
Inc.
397,000
4.500%, 
9/15/2031
h
330,421
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Consumer
Non-Cyclical
(0.7%)
-
continued
Primo
Water
Holdings,
Inc.
$
410,000
4.375%, 
4/30/2029
h
$
350,550
RegionalCare
Hospital
Partners
Holdings,
Inc./LifePoint
Health,
Inc.
204,000
9.750%, 
12/1/2026
h
197,494
Reynolds
American,
Inc.
759,000
5.700%, 
8/15/2035
679,074
Roche
Holdings,
Inc.
1,158,000
4.000%, 
11/28/2044
h
938,675
Scotts
Miracle-Gro
Company
189,000
4.500%, 
10/15/2029
154,512
SEG
Holding,
LLC
740,000
5.625%, 
10/15/2028
h
741,850
Simmons
Foods,
Inc.
393,000
4.625%, 
3/1/2029
h
322,388
Spectrum
Brands,
Inc.
310,000
5.000%, 
10/1/2029
h
280,891
280,000
5.500%, 
7/15/2030
h
253,875
367,000
3.875%, 
3/15/2031
h
297,754
Star
Parent,
Inc.
342,000
9.000%, 
10/1/2030
h
345,592
Sysco
Corporation
935,000
6.600%, 
4/1/2040
955,455
Takeda
Pharmaceutical
Company,
Ltd.
925,000
3.175%, 
7/9/2050
585,338
Teleflex,
Inc.
385,000
4.250%, 
6/1/2028
h
344,402
Tenet
Healthcare
Corporation
1,340,000
5.125%, 
11/1/2027
1,247,051
255,000
6.125%, 
10/1/2028
239,381
407,000
6.750%, 
5/15/2031
h
392,539
Teva
Pharmaceutical
Finance
Netherlands
III
BV
390,000
3.150%, 
10/1/2026
347,595
TreeHouse
Foods,
Inc.
539,000
4.000%, 
9/1/2028
f
437,264
Wyeth,
LLC
619,000
6.500%, 
2/1/2034
665,725
Zoetis,
Inc.
1,451,000
4.700%, 
2/1/2043
1,250,685
Total
64,458,179
Energy
(0.5%)
Antero
Midstream
Partners,
LP/
Antero
Midstream
Finance
Corporation
132,000
5.375%, 
6/15/2029
h
120,858
Antero
Resources
Corporation
176,000
5.375%, 
3/1/2030
h
162,038
Archrock
Partners,
LP/Archrock
Partners
Finance
Corporation
570,000
6.250%, 
4/1/2028
h
530,684
Baytex
Energy
Corporation
339,000
8.500%, 
4/30/2030
h
343,009
BP
Capital
Markets
America,
Inc.
1,907,000
2.939%, 
6/4/2051
1,164,336
Buckeye
Partners,
LP
485,000
3.950%, 
12/1/2026
435,525
Callon
Petroleum
Company
217,000
7.500%, 
6/15/2030
f,h
210,398
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
232
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Energy
(0.5%)
-
continued
Canadian
Natural
Resources,
Ltd.
$
525,000
2.950%, 
7/15/2030
$
435,431
Cheniere
Energy
Partners,
LP
2,461,000
4.500%, 
10/1/2029
2,228,370
Chesapeake
Energy
Corporation
314,000
6.750%, 
4/15/2029
h
307,281
Chord
Energy
Corporation
253,000
6.375%, 
6/1/2026
h
248,072
Civitas
Resources,
Inc.
153,000
8.375%, 
7/1/2028
h
155,677
233,000
8.750%, 
7/1/2031
h
238,002
CNX
Resources
Corporation
196,000
6.000%, 
1/15/2029
h
183,148
Columbia
Pipelines
Holding
Company,
LLC
613,000
6.042%, 
8/15/2028
h
609,893
Columbia
Pipelines
Operating
Company,
LLC
153,000
5.927%, 
8/15/2030
h
151,030
Comstock
Resources,
Inc.
410,000
5.875%, 
1/15/2030
h
354,908
Continental
Resources,
Inc.
1,076,000
2.268%, 
11/15/2026
h
953,280
CQP
Holdco,
LP/BIP-V
Chinnok
Holdco,
LLC
377,000
5.500%, 
6/15/2031
h
334,153
Crescent
Energy
Finance,
LLC
374,000
9.250%, 
2/15/2028
h
381,835
CrownRock,
LP/CrownRock
Finance,
Inc.
303,000
5.625%, 
10/15/2025
h
298,137
Diamond
Foreign
Asset
Company/
Diamond
Finance,
LLC
137,000
8.500%, 
10/1/2030
h
137,019
DT
Midstream,
Inc.
278,000
4.125%, 
6/15/2029
h
240,482
165,000
4.375%, 
6/15/2031
h
138,751
Enbridge,
Inc.
844,000
2.500%, 
2/14/2025
804,202
Enerflex,
Ltd.
275,000
9.000%, 
10/15/2027
h
271,562
Energy
Transfer,
LP
754,000
4.000%, 
10/1/2027
700,124
970,000
4.900%, 
3/15/2035
853,093
800,000
5.150%, 
2/1/2043
635,752
1,100,000
6.000%, 
6/15/2048
976,289
EnLink
Midstream
Partners,
LP
580,000
4.850%, 
7/15/2026
546,046
Enterprise
Products
Operating,
LLC
876,000
3.300%, 
2/15/2053
570,020
EQM
Midstream
Partners,
LP
933,000
4.750%, 
1/15/2031
h
803,069
EQT
Corporation
511,000
6.125%, 
2/1/2025
509,238
923,000
3.900%, 
10/1/2027
853,751
Exxon
Mobil
Corporation
1,450,000
3.452%, 
4/15/2051
1,014,525
Ferrellgas,
LP/Ferrellgas
Finance
Corporation
339,000
5.375%, 
4/1/2026
h
317,743
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Energy
(0.5%)
-
continued
Genesis
Energy
LP/Genesis
Energy
Finance
Corporation
$
549,000
8.875%, 
4/15/2030
$
536,037
Halliburton
Company
807,000
4.850%, 
11/15/2035
725,733
615,000
5.000%, 
11/15/2045
521,326
Harvest
Midstream,
LP
726,000
7.500%, 
9/1/2028
h
701,775
Hess
Midstream
Operations,
LP
344,000
5.625%, 
2/15/2026
h
332,390
Hilcorp
Energy
I,
LP/Hilcorp
Finance
Company
540,000
5.750%, 
2/1/2029
h
487,617
279,000
6.250%, 
4/15/2032
h
248,073
Howard
Midstream
Energy
Partners,
LLC
503,000
6.750%, 
1/15/2027
h
477,850
ITT
Holdings,
LLC
470,000
6.500%, 
8/1/2029
h
398,383
Laredo
Petroleum,
Inc.
575,000
7.750%, 
7/31/2029
h
534,937
Magellan
Midstream
Partners,
LP
603,000
5.000%, 
3/1/2026
591,832
MEG
Energy
Corporation
441,000
5.875%, 
2/1/2029
h
411,839
MPLX,
LP
746,000
4.875%, 
6/1/2025
731,725
1,231,000
4.950%, 
9/1/2032
1,121,086
230,000
5.000%, 
3/1/2033
209,584
Murphy
Oil
Corporation
350,000
5.875%, 
12/1/2027
339,641
Nabors
Industries,
Ltd.
630,000
7.250%, 
1/15/2026
h
608,738
National
Fuel
Gas
Company
1,000,000
5.500%, 
1/15/2026
983,466
New
Fortress
Energy,
Inc.
210,000
6.750%, 
9/15/2025
h
200,467
Noble
Finance
II,
LLC
336,000
8.000%, 
4/15/2030
h
340,394
Northern
Oil
and
Gas,
Inc.
340,000
8.750%, 
6/15/2031
h
342,550
Northriver
Midstream
Finance,
LP
165,000
5.625%, 
2/15/2026
h
157,237
NuStar
Logistics,
LP
312,000
5.750%, 
10/1/2025
303,420
Occidental
Petroleum
Corporation
1,550,000
7.875%, 
9/15/2031
1,677,256
Ovintiv,
Inc.
308,000
5.650%, 
5/15/2025
306,237
1,071,000
5.375%, 
1/1/2026
1,055,970
PBF
Holding
Company,
LLC/PBF
Finance
Corporation
273,000
6.000%, 
2/15/2028
257,485
Permian
Resources
Operating,
LLC
310,000
7.000%, 
1/15/2032
h
305,726
Phillips
66
Company
692,000
4.950%, 
12/1/2027
678,139
Precision
Drilling
Corporation
410,000
6.875%, 
1/15/2029
h
388,353
Range
Resources
Corporation
273,000
4.750%, 
2/15/2030
h
242,288
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
233
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Energy
(0.5%)
-
continued
Rockcliff
Energy
II,
LLC
$
361,000
5.500%, 
10/15/2029
h
$
324,888
Rockies
Express
Pipeline,
LLC
102,000
4.950%, 
7/15/2029
h
90,851
SM
Energy
Company
163,000
6.625%, 
1/15/2027
159,740
245,000
6.500%, 
7/15/2028
235,200
Southwestern
Energy
Company
360,000
5.375%, 
3/15/2030
327,979
235,000
4.750%, 
2/1/2032
201,698
Suburban
Propane
Partners,
LP/
Suburban
Energy
Finance
Corporation
152,000
5.875%, 
3/1/2027
145,160
Suncor
Energy,
Inc.
1,117,000
7.150%, 
2/1/2032
1,174,991
Sunoco,
LP/Sunoco
Finance
Corporation
545,000
5.875%, 
3/15/2028
522,827
Tallgrass
Energy
Partners
LP/
Tallgrass
Energy
Finance
Corporation
617,000
5.500%, 
1/15/2028
h
561,470
Targa
Resources
Corporation
1,077,000
4.200%, 
2/1/2033
915,760
Teine
Energy,
Ltd.
345,000
6.875%, 
4/15/2029
h
316,538
Transocean
Titan
Financing,
Ltd.
325,000
8.375%, 
2/1/2028
h
330,688
Transocean,
Inc.
330,000
11.500%, 
1/30/2027
h
346,088
193,800
8.750%, 
2/15/2030
h
198,161
USA
Compression
Partners,
LP/
USA
Compression
Finance
Corporation
456,000
6.875%, 
4/1/2026
446,672
Valaris,
Ltd.
339,000
8.375%, 
4/30/2030
h
339,254
Venture
Global
Calcasieu
Pass,
LLC
483,000
3.875%, 
8/15/2029
h
406,434
344,000
6.250%, 
1/15/2030
h
328,131
290,000
4.125%, 
8/15/2031
h
237,980
Venture
Global
LNG,
Inc.
692,000
8.375%, 
6/1/2031
h
680,279
Weatherford
International,
Ltd.
524,000
8.625%, 
4/30/2030
h
528,011
Western
Midstream
Operating,
LP
619,000
6.350%, 
1/15/2029
620,276
308,000
6.150%, 
4/1/2033
297,038
Williams
Companies,
Inc.
615,000
5.300%, 
8/15/2052
522,692
1,015,000
7.500%, 
1/15/2031
1,079,401
Total
46,773,492
Financials
(1.8%)
Acrisure,
LLC/Acrisure
Finance,
Inc.
118,000
6.000%, 
8/1/2029
h
99,161
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
697,000
3.500%, 
1/15/2025
672,364
692,000
6.100%, 
1/15/2027
688,612
1,250,000
3.875%, 
1/23/2028
1,133,621
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Financials
(1.8%)
-
continued
$
550,000
3.400%, 
10/29/2033
$
425,437
Air
Lease
Corporation
1,500,000
3.000%, 
2/1/2030
1,233,741
Aircastle,
Ltd.
650,000
5.250%, 
8/11/2025
h
633,128
Alliant
Holdings
Intermediate,
LLC/
Alliant
Holdings
Co-Issuer,
Inc.
261,000
6.750%, 
10/15/2027
h
242,733
Ally
Financial,
Inc.
1,000,000
5.750%, 
11/20/2025
971,357
1,000,000
8.000%, 
11/1/2031
1,009,635
88,000
6.700%, 
2/14/2033
76,392
American
Homes
4
Rent,
LP
1,000,000
2.375%, 
7/15/2031
762,430
American
International
Group,
Inc.
1,248,000
5.125%, 
3/27/2033
1,161,213
AmWINS
Group,
Inc.
315,000
4.875%, 
6/30/2029
h
276,012
ANZ
Bank
New
Zealand,
Ltd.
600,000
5.548%, 
8/11/2032
b,h
582,578
Aon
Corporation/Aon
Global
Holdings
plc
304,000
5.350%, 
2/28/2033
291,431
Ares
Capital
Corporation
455,000
3.250%, 
7/15/2025
426,206
1,100,000
3.875%, 
1/15/2026
1,029,286
550,000
2.150%, 
7/15/2026
482,547
Associated
Banc-Corp
750,000
4.250%, 
1/15/2025
721,254
Australia
&
New
Zealand
Banking
Group,
Ltd.
700,000
2.950%, 
7/22/2030
b,h
649,806
Avolon
Holdings
Funding,
Ltd.
541,000
5.250%, 
5/15/2024
h
535,797
275,000
4.250%, 
4/15/2026
h
258,471
Banco
Santander
Mexico
SA
875,000
5.375%, 
4/17/2025
h
859,998
Banco
Santander
SA
1,200,000
4.175%, 
3/24/2028
b
1,108,053
Bank
of
America
Corporation
1,062,000
5.080%, 
1/20/2027
b
1,038,055
575,000
1.734%, 
7/22/2027
b
509,542
800,000
3.824%, 
1/20/2028
b
742,912
537,000
5.202%, 
4/25/2029
b
517,294
500,000
2.087%, 
6/14/2029
b
418,567
1,500,000
2.496%, 
2/13/2031
b
1,202,158
1,475,000
1.922%, 
10/24/2031
b
1,112,790
923,000
2.972%, 
2/4/2033
b
727,836
1,844,000
4.571%, 
4/27/2033
b
1,637,164
928,000
5.872%, 
9/15/2034
b
903,112
1,230,000
3.846%, 
3/8/2037
b
1,000,426
Bank
of
Nova
Scotia
308,000
4.850%, 
2/1/2030
290,041
Barclays
plc
930,000
6.496%, 
9/13/2027
b
927,533
1,290,000
4.972%, 
5/16/2029
b
1,205,095
900,000
5.746%, 
8/9/2033
b
830,578
Berkshire
Hathaway
Finance
Corporation
1,231,000
2.850%, 
10/15/2050
765,890
Blackstone
Private
Credit
Fund
917,000
2.700%, 
1/15/2025
868,533
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
234
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Financials
(1.8%)
-
continued
Blue
Owl
Capital
Corporation
$
250,000
4.250%, 
1/15/2026
$
233,884
Blue
Owl
Credit
Income
Corporation
769,000
4.700%, 
2/8/2027
699,767
Blue
Owl
Technology
Finance
Corporation
250,000
4.750%, 
12/15/2025
h
231,240
BNP
Paribas
SA
1,538,000
3.132%, 
1/20/2033
b,h
1,208,386
BPCE
SA
1,091,000
3.500%, 
10/23/2027
h
985,544
Brookfield
Property
REIT,
Inc./BPR
Cumulus,
LLC/BPR
Nimbus,
LLC/GGSI
Sellco,
LLC
119,000
4.500%, 
4/1/2027
h
99,170
Burford
Capital
Global
Finance,
LLC
375,000
9.250%, 
7/1/2031
h
380,429
Camden
Property
Trust
1,800,000
3.150%, 
7/1/2029
1,594,681
Canadian
Imperial
Bank
of
Commerce
923,000
5.001%, 
4/28/2028
886,143
Capital
One
Financial
Corporation
1,100,000
4.200%, 
10/29/2025
1,048,900
920,000
2.636%, 
3/3/2026
b
868,267
Castlelake
Aviation
Finance
DAC
180,000
5.000%, 
4/15/2027
h
164,404
Centene
Corporation
1,505,000
2.625%, 
8/1/2031
1,152,683
Charles
Schwab
Corporation
1,535,000
2.450%, 
3/3/2027
1,367,291
619,000
6.136%, 
8/24/2034
b
602,136
Chubb
INA
Holdings,
Inc.
615,000
4.350%, 
11/3/2045
504,562
Citigroup,
Inc.
827,000
0.981%, 
5/1/2025
b
800,381
1,515,000
4.400%, 
6/10/2025
1,470,057
745,000
3.200%, 
10/21/2026
687,804
1,094,000
3.668%, 
7/24/2028
b
1,003,541
490,000
4.125%, 
7/25/2028
445,806
915,000
3.520%, 
10/27/2028
b
827,761
1,308,000
4.910%, 
5/24/2033
b
1,190,158
778,000
6.174%, 
5/25/2034
b
743,475
Cooperatieve
Rabobank
UA
1,227,000
5.564%, 
2/28/2029
b,h
1,195,878
Corebridge
Financial,
Inc.
616,000
4.400%, 
4/5/2052
450,651
462,000
4.350%, 
4/5/2042
349,337
Credit
Acceptance
Corporation
620,000
5.125%, 
12/31/2024
h
603,864
Credit
Agricole
SA
625,000
6.875%, 
9/23/2024
b,h,l
609,655
Credit
Suisse
Group
AG
900,000
7.250%, 
9/12/2025
b,h,l,m
85,500
Danske
Bank
AS
450,000
0.976%, 
9/10/2025
b,h
426,540
Deutsche
Bank
AG/New
York,
NY
1,175,000
3.729%, 
1/14/2032
b
874,663
Discover
Bank
1,670,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
b
1,528,102
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Financials
(1.8%)
-
continued
Drawbridge
Special
Opportunities
Fund,
LP
$
564,000
3.875%, 
2/15/2026
h
$
501,800
Elevance
Health,
Inc.
1,185,000
3.125%, 
5/15/2050
745,365
820,000
4.625%, 
5/15/2042
687,768
Enact
Holdings,
Inc.
257,000
6.500%, 
8/15/2025
h
253,122
EPR
Properties
405,000
4.950%, 
4/15/2028
358,860
Fifth
Third
Bancorp
484,000
6.339%, 
7/27/2029
b
478,127
First
Horizon
Bank
250,000
5.750%, 
5/1/2030
f
223,769
First
Horizon
National
Corporation
1,000,000
4.000%, 
5/26/2025
944,175
First-Citizens
Bank
&
Trust
Company
1,155,000
6.125%, 
3/9/2028
1,147,204
Five
Corners
Funding
Trust
IV
616,000
5.997%, 
2/15/2053
h
583,493
Fortress
Transportation
and
Infrastructure
Investors,
LLC
346,000
6.500%, 
10/1/2025
h
340,064
171,000
9.750%, 
8/1/2027
h
176,872
85,000
5.500%, 
5/1/2028
h
77,060
Freedom
Mortgage
Corporation
137,000
12.000%, 
10/1/2028
h
139,309
FS
KKR
Capital
Corporation
961,000
4.250%, 
2/14/2025
h
920,152
1,300,000
3.400%, 
1/15/2026
1,191,303
GGAM
Finance,
Ltd.
338,000
7.750%, 
5/15/2026
h
334,621
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership,
LP
645,000
3.750%, 
12/15/2027
h
499,388
Goldman
Sachs
Group,
Inc.
785,000
1.948%, 
10/21/2027
b
693,118
275,000
1.992%, 
1/27/2032
b
206,146
2,769,000
3.102%, 
2/24/2033
b
2,214,388
1,130,000
4.750%, 
10/21/2045
950,923
Healthpeak
OP,
LLC
205,000
3.400%, 
2/1/2025
197,872
HSBC
Holdings
plc
734,000
1.162%, 
11/22/2024
b
727,093
1,850,000
3.803%, 
3/11/2025
b
1,827,187
1,100,000
2.999%, 
3/10/2026
b
1,048,256
710,000
3.900%, 
5/25/2026
671,774
900,000
5.402%, 
8/11/2033
b
829,363
HUB
International,
Ltd.
515,000
5.625%, 
12/1/2029
h
448,440
Icahn
Enterprises,
LP/Icahn
Enterprises
Finance
Corporation
347,000
6.375%, 
12/15/2025
330,089
383,000
5.250%, 
5/15/2027
336,649
Intercontinental
Exchange,
Inc.
575,000
4.950%, 
6/15/2052
497,827
Invitation
Homes
Operating
Partnership,
LP
769,000
2.000%, 
8/15/2031
569,091
J.P.
Morgan
Chase
&
Company
500,000
0.824%, 
6/1/2025
b
481,327
312,000
1.561%, 
12/10/2025
b
294,866
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
235
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Financials
(1.8%)
-
continued
$
850,000
1.040%, 
2/4/2027
b
$
756,461
720,000
1.578%, 
4/22/2027
b
642,551
1,230,000
2.947%, 
2/24/2028
b
1,115,798
1,475,000
4.203%, 
7/23/2029
b
1,366,968
900,000
2.522%, 
4/22/2031
b
729,521
1,100,000
1.953%, 
2/4/2032
b
834,210
1,229,000
4.586%, 
4/26/2033
b
1,107,876
923,000
4.912%, 
7/25/2033
b
849,206
1,265,000
3.882%, 
7/24/2038
b
1,010,045
Jefferies
Finance,
LLC/JFIN
Co-
Issuer
Corporation
137,000
5.000%, 
8/15/2028
h
115,355
KeyBank
NA/Cleveland,
OH
651,000
5.000%, 
1/26/2033
547,989
KeyCorp
450,000
3.878%, 
5/23/2025
b
433,795
Kimco
Realty
Corporation
941,000
3.300%, 
2/1/2025
905,267
Lloyds
Banking
Group
plc
920,000
5.871%, 
3/6/2029
b
899,571
LPL
Holdings,
Inc.
410,000
4.000%, 
3/15/2029
h
357,464
Macquarie
Group,
Ltd.
1,103,000
1.201%, 
10/14/2025
b,h
1,045,885
Manufacturers
&
Traders
Trust
Company
923,000
4.700%, 
1/27/2028
852,439
Marsh
&
McLennan
Companies,
Inc.
231,000
5.450%, 
3/15/2053
215,629
619,000
5.400%, 
9/15/2033
602,663
Massachusetts
Mutual
Life
Insurance
Company
1,150,000
3.200%, 
12/1/2061
*
646,851
Mitsubishi
UFJ
Financial
Group,
Inc.
835,000
0.962%, 
10/11/2025
b
789,554
922,000
5.422%, 
2/22/2029
b
902,392
1,750,000
2.048%, 
7/17/2030
1,363,383
Molina
Healthcare,
Inc.
351,000
4.375%, 
6/15/2028
h
314,513
Morgan
Stanley
900,000
2.630%, 
2/18/2026
b
856,646
600,000
2.188%, 
4/28/2026
b
563,636
1,925,000
4.350%, 
9/8/2026
1,835,447
1,211,000
5.050%, 
1/28/2027
b
1,187,060
1,244,000
3.591%, 
7/22/2028
b
1,135,000
615,000
5.164%, 
4/20/2029
b
591,664
1,600,000
3.622%, 
4/1/2031
b
1,378,358
615,000
5.250%, 
4/21/2034
b
571,015
1,076,000
5.297%, 
4/20/2037
b
958,733
825,000
2.802%, 
1/25/2052
b
480,292
MPT
Operating
Partnership,
LP/
MPT
Finance
Corporation
467,000
4.625%, 
8/1/2029
330,759
Nasdaq,
Inc.
750,000
3.250%, 
4/28/2050
468,448
Nationstar
Mortgage
Holdings,
Inc.
341,000
6.000%, 
1/15/2027
h
322,219
NatWest
Group
plc
1,250,000
4.445%, 
5/8/2030
b
1,128,236
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Financials
(1.8%)
-
continued
Necessity
Retail
REIT,
Inc./
American
Finance
Operating
Partner,
LP
$
409,000
4.500%, 
9/30/2028
h
$
310,668
New
York
Life
Global
Funding
925,000
4.550%, 
1/28/2033
h
847,999
NFP
Corporation
204,000
6.875%, 
8/15/2028
h
174,762
NNN
REIT,
Inc.
940,000
5.600%, 
10/15/2033
885,700
Office
Properties
Income
Trust
148,000
2.650%, 
6/15/2026
100,680
Omega
Healthcare
Investors,
Inc.
780,000
3.625%, 
10/1/2029
650,219
875,000
3.375%, 
2/1/2031
684,068
OneMain
Finance
Corporation
705,000
6.875%, 
3/15/2025
699,411
560,000
3.875%, 
9/15/2028
449,480
Park
Intermediate
Holdings,
LLC
546,000
4.875%, 
5/15/2029
h
461,889
Pine
Street
Trust
I
923,000
4.572%, 
2/15/2029
h
830,545
PNC
Financial
Services
Group,
Inc.
952,000
5.812%, 
6/12/2026
b
944,404
1,230,000
4.626%, 
6/6/2033
b
1,061,081
PRA
Group,
Inc.
332,000
7.375%, 
9/1/2025
h
323,287
274,000
8.375%, 
2/1/2028
h
249,340
Principal
Life
Global
Funding
II
825,000
1.250%, 
8/16/2026
h
722,029
Prologis,
LP
617,000
2.875%, 
11/15/2029
529,190
Prudential
Financial,
Inc.
1,170,000
5.125%, 
3/1/2052
b
1,007,539
Radian
Group,
Inc.
340,000
4.875%, 
3/15/2027
317,687
Realty
Income
Corporation
394,000
4.125%, 
10/15/2026
377,409
Regency
Centers,
LP
1,100,000
4.125%, 
3/15/2028
1,017,914
RLJ
Lodging
Trust,
LP
172,000
3.750%, 
7/1/2026
h
155,555
363,000
4.000%, 
9/15/2029
h
297,275
Rocket
Mortgage,
LLC/Rocket
Mortgage
Co-Issuer,
Inc.
440,000
3.625%, 
3/1/2029
h
363,764
Royal
Bank
of
Canada
953,000
5.200%, 
7/20/2026
942,603
769,000
5.000%, 
5/2/2033
f
714,458
Santander
Holdings
USA,
Inc.
308,000
6.499%, 
3/9/2029
b
300,380
Santander
UK
Group
Holdings
plc
1,000,000
1.673%, 
6/14/2027
b
874,698
Service
Properties
Trust
195,000
4.650%, 
3/15/2024
192,342
111,000
4.350%, 
10/1/2024
106,483
458,000
7.500%, 
9/15/2025
449,955
260,000
5.500%, 
12/15/2027
222,205
Simon
Property
Group,
LP
1,025,000
3.800%, 
7/15/2050
696,143
SLM
Corporation
180,000
4.200%, 
10/29/2025
168,428
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
236
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Financials
(1.8%)
-
continued
Societe
Generale
SA
$
1,122,000
4.750%, 
11/24/2025
h
$
1,073,197
Spirit
Realty,
LP
1,250,000
2.100%, 
3/15/2028
1,052,149
Standard
Chartered
plc
1,847,000
1.822%, 
11/23/2025
b,h
1,745,298
Sumitomo
Mitsui
Financial
Group,
Inc.
1,140,000
3.010%, 
10/19/2026
1,049,591
922,000
5.710%, 
1/13/2030
902,102
850,000
1.710%, 
1/12/2031
633,704
Synchrony
Financial
590,000
4.250%, 
8/15/2024
576,195
87,000
7.250%, 
2/2/2033
76,787
Synovus
Bank
1,201,000
5.625%, 
2/15/2028
1,088,192
Toronto-Dominion
Bank
924,000
5.156%, 
1/10/2028
901,816
805,000
5.523%, 
7/17/2028
794,566
Truist
Financial
Corporation
623,000
6.047%, 
6/8/2027
b
616,223
440,000
5.125%, 
12/15/2027
b,l
338,008
770,000
5.122%, 
1/26/2034
b
688,340
U.S.
Bancorp
616,000
5.727%, 
10/21/2026
b
610,876
954,000
5.775%, 
6/12/2029
b
928,605
244,000
5.836%, 
6/12/2034
b
230,129
UBS
Group
AG
1,800,000
2.193%, 
6/5/2026
b,h
1,674,107
928,000
6.246%, 
9/22/2029
b,h
918,264
767,000
3.091%, 
5/14/2032
b,h
605,814
UDR,
Inc.
875,000
2.100%, 
8/1/2032
631,007
United
Wholesale
Mortgage,
LLC
109,000
5.500%, 
11/15/2025
h
103,678
268,000
5.500%, 
4/15/2029
h
226,460
UnitedHealth
Group,
Inc.
616,000
5.875%, 
2/15/2053
618,191
923,000
4.750%, 
5/15/2052
786,992
1,275,000
4.625%, 
7/15/2035
1,177,188
USI,
Inc./NY
137,000
6.875%, 
5/1/2025
h
135,945
Wells
Fargo
&
Company
125,000
3.000%, 
4/22/2026
116,437
1,475,000
3.000%, 
10/23/2026
1,354,630
923,000
3.526%, 
3/24/2028
b
847,659
1,400,000
2.393%, 
6/2/2028
b
1,227,757
644,000
5.574%, 
7/25/2029
b
628,281
507,000
5.389%, 
4/24/2034
b
473,998
1,180,000
4.900%, 
11/17/2045
946,478
Welltower
OP,
LLC
750,000
2.050%, 
1/15/2029
619,926
Willis
North
America,
Inc.
1,231,000
4.650%, 
6/15/2027
1,178,255
XHR,
LP
172,000
6.375%, 
8/15/2025
f,h
168,868
189,000
4.875%, 
6/1/2029
h
160,650
Total
154,525,162
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Foreign
Government
(<0.1%)
NBN
Company,
Ltd.
$
1,050,000
2.625%, 
5/5/2031
h
$
846,252
Total
846,252
Mortgage-Backed
Securities
(4.9%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
21,725,553
2.500%, 
5/1/2051
17,338,109
7,671,955
3.500%, 
5/1/2052
6,606,567
9,695,930
4.000%, 
5/1/2052
8,701,929
20,507,858
3.500%, 
6/1/2052
17,672,850
5,318,243
5.000%, 
7/1/2053
5,034,257
2,980,080
5.500%, 
7/1/2053
2,891,443
6,967,920
3.500%, 
8/1/2052
6,029,854
7,600,000
5.500%, 
9/1/2053
7,373,913
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
5,378,110
2.500%, 
7/1/2030
4,902,200
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
5,541,541
3.000%, 
12/1/2036
4,944,339
5,879,685
3.000%, 
8/1/2038
5,221,552
8,768,596
3.500%, 
5/1/2040
7,789,801
5,519,497
2.500%, 
4/1/2042
4,540,003
2,429,095
2.000%, 
5/1/2042
1,966,560
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
21,395,665
3.000%, 
1/1/2052
17,811,856
1,395,785
2.000%, 
2/1/2051
1,067,400
2,182,725
2.000%, 
2/1/2051
1,671,784
5,937,135
2.500%, 
2/1/2051
4,757,555
10,843,800
2.500%, 
2/1/2051
8,671,913
28,986,206
2.000%, 
3/1/2051
22,153,233
22,085,563
3.000%, 
3/1/2052
18,315,761
18,226,813
2.000%, 
4/1/2051
13,928,250
12,979,992
3.000%, 
4/1/2051
10,776,259
13,530,320
3.000%, 
5/1/2050
11,320,996
2,626,731
2.000%, 
5/1/2051
2,003,291
10,463,752
3.000%, 
5/1/2051
8,796,851
8,467,961
3.000%, 
6/1/2050
7,152,868
3,934,646
5.000%, 
6/1/2053
3,730,633
16,474,696
2.500%, 
7/1/2051
13,151,225
5,320,733
3.500%, 
7/1/2051
4,652,528
2,251,507
2.500%, 
8/1/2050
1,817,607
11,011,376
3.500%, 
8/1/2050
9,638,657
8,046,607
3.500%, 
9/1/2052
6,957,396
9,714,446
4.500%, 
9/1/2053
8,929,788
16,083,287
4.000%, 
10/1/2052
14,365,747
2,598,697
2.000%, 
11/1/2051
1,984,293
10,585,541
2.000%, 
12/1/2050
8,107,931
28,099,657
2.500%, 
12/1/2051
22,453,380
16,469,659
4.500%, 
12/1/2052
15,188,774
350,000
5.500%, 
10/1/2041
e
338,229
16,500,000
6.000%, 
10/1/2041
e
16,283,438
15,000,000
4.000%, 
10/1/2048
e
13,353,516
16,475,000
4.500%, 
10/1/2048
e
15,126,109
21,860,000
5.000%, 
10/1/2048
e
20,623,544
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
237
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Mortgage-Backed
Securities
(4.9%)
-
continued
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
$
19,454,054
2.500%, 
3/1/2062
$
14,930,140
5,565,405
3.500%, 
7/1/2061
4,733,441
8,328,044
4.000%, 
12/1/2061
7,417,010
Total
433,224,780
Technology
(0.4%)
Advanced
Micro
Devices,
Inc.
615,000
4.393%, 
6/1/2052
500,999
Analog
Devices,
Inc.
1,150,000
2.950%, 
10/1/2051
717,836
Apple,
Inc.
1,077,000
2.650%, 
2/8/2051
653,241
2,020,000
3.750%, 
9/12/2047
1,561,375
AthenaHealth
Group,
Inc.
480,000
6.500%, 
2/15/2030
f,h
401,524
Broadcom,
Inc.
354,000
3.469%, 
4/15/2034
h
278,036
1,231,000
3.137%, 
11/15/2035
h
897,500
1,350,000
3.187%, 
11/15/2036
h
969,284
600,000
4.926%, 
5/15/2037
h
517,156
Cloud
Software
Group,
Inc.
384,000
6.500%, 
3/31/2029
h
339,583
134,000
9.000%, 
9/30/2029
h
116,446
CommScope
Technologies,
LLC
184,000
6.000%, 
6/15/2025
h
175,159
CommScope,
Inc.
385,000
7.125%, 
7/1/2028
f,h
230,349
Dell
International,
LLC/EMC
Corporation
931,000
6.020%, 
6/15/2026
934,630
Fiserv,
Inc.
1,000,000
2.250%, 
6/1/2027
887,449
639,000
2.650%, 
6/1/2030
524,913
537,000
5.600%, 
3/2/2033
520,452
Gartner,
Inc.
325,000
3.625%, 
6/15/2029
h
278,029
605,000
3.750%, 
10/1/2030
h
507,718
Global
Payments,
Inc.
923,000
5.300%, 
8/15/2029
880,215
GTCR
W-2
Merger
Sub,
LLC
268,000
7.500%, 
1/15/2031
e,h
268,375
II-VI,
Inc.
164,000
5.000%, 
12/15/2029
f,h
142,195
Intel
Corporation
616,000
4.875%, 
2/10/2028
604,274
Iron
Mountain,
Inc.
570,000
4.875%, 
9/15/2029
h
499,573
750,000
5.250%, 
7/15/2030
h
655,234
585,000
4.500%, 
2/15/2031
h
481,141
KLA
Corporation
923,000
3.300%, 
3/1/2050
613,376
Marvell
Technology,
Inc.
155,000
5.950%, 
9/15/2033
152,134
Mastercard,
Inc.
729,000
3.950%, 
2/26/2048
577,191
Microsoft
Corporation
565,000
3.041%, 
3/17/2062
357,712
1,130,000
3.700%, 
8/8/2046
889,112
NCR
Corporation
516,000
5.125%, 
4/15/2029
h
454,626
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Technology
(0.4%)
-
continued
$
511,000
6.125%, 
9/1/2029
h
$
524,044
NXP
BV/NXP
Funding,
LLC
480,000
5.550%, 
12/1/2028
469,818
NXP
BV/NXP
Funding,
LLC/NXP
USA,
Inc.
480,000
4.300%, 
6/18/2029
439,731
480,000
3.250%, 
5/11/2041
322,941
Open
Text
Corporation
207,000
3.875%, 
12/1/2029
h
170,158
675,000
4.125%, 
2/15/2030
h
564,706
Oracle
Corporation
615,000
6.900%, 
11/9/2052
633,529
1,540,000
6.150%, 
11/9/2029
1,563,336
1,815,000
3.850%, 
7/15/2036
1,435,046
1,250,000
4.000%, 
7/15/2046
882,052
PTC,
Inc.
300,000
3.625%, 
2/15/2025
h
288,309
270,000
4.000%, 
2/15/2028
h
241,988
Rackspace
Technology
Global,
Inc.
540,000
5.375%, 
12/1/2028
h
181,086
RingCentral,
Inc.
344,000
8.500%, 
8/15/2030
h
332,304
Roper
Technologies,
Inc.
771,000
1.750%, 
2/15/2031
584,938
S&P
Global,
Inc.
155,000
5.250%, 
9/15/2033
h
151,083
Seagate
HDD
Cayman
201,000
8.500%, 
7/15/2031
h
206,183
528,350
9.625%, 
12/1/2032
h
569,319
Sensata
Technologies
BV
575,000
4.000%, 
4/15/2029
h
495,131
Sensata
Technologies,
Inc.
393,000
3.750%, 
2/15/2031
h
318,065
Shift4
Payments,
LLC/Shift4
Payments
Finance
Sub,
Inc.
190,000
4.625%, 
11/1/2026
h
179,143
SS&C
Technologies,
Inc.
1,120,000
5.500%, 
9/30/2027
h
1,056,877
Texas
Instruments,
Inc.
615,000
5.050%, 
5/18/2063
545,092
Viavi
Solutions,
Inc.
396,000
3.750%, 
10/1/2029
h
321,908
Visa,
Inc.
1,284,000
2.700%, 
4/15/2040
904,186
VMware,
Inc.
565,000
4.650%, 
5/15/2027
544,870
900,000
2.200%, 
8/15/2031
679,168
Total
32,191,848
Transportation
(0.2%)
Allegiant
Travel
Company
310,000
7.250%, 
8/15/2027
h
291,787
American
Airlines
Group,
Inc.
119,000
3.750%, 
3/1/2025
h
112,732
American
Airlines,
Inc.
710,000
11.750%, 
7/15/2025
h
763,245
246,000
7.250%, 
2/15/2028
h
235,202
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
1,068,834
5.500%, 
4/20/2026
h
1,043,890
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
238
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Transportation
(0.2%)
-
continued
Avis
Budget
Car
Rental,
LLC/Avis
Budget
Finance,
Inc.
$
216,000
5.375%, 
3/1/2029
f,h
$
191,975
Burlington
Northern
Santa
Fe,
LLC
724,000
2.875%, 
6/15/2052
445,341
608,000
5.750%, 
5/1/2040
603,577
625,000
4.450%, 
3/15/2043
522,257
Canadian
Pacific
Railway
Company
615,000
4.700%, 
5/1/2048
509,056
CSX
Corporation
900,000
3.800%, 
4/15/2050
649,602
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.
1,340,000
4.750%, 
10/20/2028
h
1,273,459
ERAC
USA
Finance,
LLC
616,000
5.400%, 
5/1/2053
h
569,219
Hawaiian
Brand
Intellectual
Property,
Ltd.
475,000
5.750%, 
1/20/2026
h
427,432
Hertz
Corporation
323,000
4.625%, 
12/1/2026
h
286,259
388,000
5.000%, 
12/1/2029
h
303,774
Mileage
Plus
Holdings,
LLC
1,154,250
6.500%, 
6/20/2027
h
1,143,633
Norfolk
Southern
Corporation
2,152,000
4.450%, 
3/1/2033
1,965,145
Penske
Truck
Leasing
Company,
LP/PTL
Finance
Corporation
930,000
5.750%, 
5/24/2026
h
916,315
Rand
Parent,
LLC
356,000
8.500%, 
2/15/2030
f,h
329,336
Southwest
Airlines
Company
960,000
2.625%, 
2/10/2030
790,932
Union
Pacific
Corporation
1,231,000
2.973%, 
9/16/2062
699,134
United
Airlines,
Inc.
377,000
4.375%, 
4/15/2026
h
348,646
315,000
4.625%, 
4/15/2029
h
270,752
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.
102,000
7.875%, 
5/1/2027
f,h
87,847
450,000
6.375%, 
2/1/2030
h
347,560
XPO
Escrow
Sub,
LLC
413,000
7.500%, 
11/15/2027
h
417,559
Total
15,545,666
U.S.
Government
&
Agencies
(7.3%)
U.S.
Treasury
Bonds
4,250,000
2.875%, 
5/15/2052
3,013,350
3,559,000
3.625%, 
5/15/2053
2,946,741
9,660,000
1.625%, 
11/15/2050
5,059,802
19,150,000
5.250%, 
11/15/2028
19,663,908
13,650,000
1.625%, 
8/15/2029
11,583,305
2,975,000
4.375%, 
5/15/2040
2,822,299
44,475,000
1.375%, 
11/15/2040
26,321,903
1,340,000
3.000%, 
5/15/2042
1,025,466
5,750,000
3.250%, 
5/15/2042
4,582,031
2,261,000
3.875%, 
2/15/2043
1,967,777
68,726,000
2.500%, 
5/15/2046
46,032,997
46,100,000
2.875%, 
5/15/2049
32,885,867
U.S.
Treasury
Notes
9,620,000
2.500%, 
1/31/2024
9,526,431
25,885,000
2.125%, 
7/31/2024
25,179,229
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
U.S.
Government
&
Agencies
(7.3%)
-
continued
$
28,665,000
2.250%, 
11/15/2024
$
27,690,838
19,170,000
2.125%, 
11/30/2024
18,469,097
46,100,000
3.875%, 
3/31/2025
45,183,402
20,800,000
5.000%, 
8/31/2025
20,757,750
52,575,000
2.625%, 
1/31/2026
49,903,122
2,300,000
0.500%, 
2/28/2026
2,070,719
90,300,000
2.500%, 
2/28/2026
85,382,883
7,285,000
2.250%, 
11/15/2027
6,625,366
13,950,000
3.875%, 
12/31/2027
13,520,057
1,500,000
0.750%, 
1/31/2028
1,271,836
30,100,000
3.500%, 
1/31/2028
28,725,512
15,300,000
3.625%, 
3/31/2028
14,667,680
72,550,000
2.875%, 
5/15/2028
67,233,445
21,000,000
4.375%, 
8/31/2028
20,791,641
3,250,000
1.500%, 
2/15/2030
2,693,945
3,750,000
0.875%, 
11/15/2030
2,917,383
270,000
1.375%, 
11/15/2031
211,634
13,950,000
2.875%, 
5/15/2032
12,244,939
28,750,000
4.125%, 
11/15/2032
27,728,027
Total
640,700,382
Utilities
(0.3%)
AES
Corporation
1,227,000
3.950%, 
7/15/2030
h
1,057,576
Ameren
Illinois
Company
830,000
4.500%, 
3/15/2049
684,041
American
Electric
Power
Company,
Inc.
537,000
5.625%, 
3/1/2033
519,631
Appalachian
Power
Company
750,000
3.300%, 
6/1/2027
687,870
Berkshire
Hathaway
Energy
Company
1,165,000
4.500%, 
2/1/2045
929,957
Calpine
Corporation
370,000
4.500%, 
2/15/2028
h
333,454
CenterPoint
Energy
Resources
Corporation
750,000
1.750%, 
10/1/2030
580,031
CenterPoint
Energy,
Inc.
270,000
4.250%, 
11/1/2028
248,250
Commonwealth
Edison
Company
1,025,000
3.700%, 
3/1/2045
746,496
Consolidated
Edison
Company
of
New
York,
Inc.
579,000
4.500%, 
12/1/2045
460,918
1,250,000
4.125%, 
5/15/2049
927,158
Constellation
Energy
Generation,
LLC
310,000
6.125%, 
1/15/2034
309,506
Consumers
Energy
Company
1,012,000
4.350%, 
4/15/2049
815,568
DTE
Electric
Company
965,000
3.700%, 
3/15/2045
697,149
475,000
3.700%, 
6/1/2046
338,764
Duke
Energy
Carolinas,
LLC
1,090,000
3.700%, 
12/1/2047
777,373
Duke
Energy
Indiana,
LLC
1,550,000
3.750%, 
5/15/2046
1,093,955
Edison
International
725,000
5.750%, 
6/15/2027
718,291
Eversource
Energy
769,000
4.750%, 
5/15/2026
751,722
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
239
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Utilities
(0.3%)
-
continued
Exelon
Corporation
$
585,000
4.700%, 
4/15/2050
$
467,540
983,000
4.450%, 
4/15/2046
766,642
FirstEnergy
Corporation
769,000
5.100%, 
7/15/2047
652,618
Georgia
Power
Company
523,000
4.950%, 
5/17/2033
490,228
ITC
Holdings
Corporation
760,000
5.300%, 
7/1/2043
655,311
Jersey
Central
Power
&
Light
Company
450,000
2.750%, 
3/1/2032
h
352,415
MidAmerican
Energy
Company
306,000
5.850%, 
9/15/2054
301,677
National
Rural
Utilities
Cooperative
Finance
Corporation
381,000
3.700%, 
3/15/2029
347,804
NextEra
Energy
Capital
Holdings,
Inc.
618,000
5.749%, 
9/1/2025
616,265
NextEra
Energy
Operating
Partners,
LP
740,000
3.875%, 
10/15/2026
h
670,008
NiSource
Finance
Corporation
900,000
5.650%, 
2/1/2045
814,212
NRG
Energy,
Inc.
141,000
3.375%, 
2/15/2029
h
114,124
923,000
4.450%, 
6/15/2029
h
800,465
240,000
5.250%, 
6/15/2029
h
211,862
Pacific
Gas
and
Electric
Company
800,000
3.300%, 
12/1/2027
706,832
538,000
4.550%, 
7/1/2030
475,570
PacifiCorp
624,000
5.500%, 
5/15/2054
529,223
PG&E
Corporation
471,000
5.000%, 
7/1/2028
f
426,622
PPL
Electric
Utilities
Corporation
547,000
3.950%, 
6/1/2047
413,980
Public
Service
Company
of
Colorado
923,000
4.500%, 
6/1/2052
720,132
San
Diego
Gas
&
Electric
Company
940,000
4.150%, 
5/15/2048
714,459
Southern
California
Edison
Company
949,000
4.000%, 
4/1/2047
686,185
Southern
Company
1,231,000
5.113%, 
8/1/2027
1,206,338
Southern
Company
Gas
Capital
Corporation
620,000
4.400%, 
5/30/2047
468,945
Southwestern
Electric
Power
Company
620,000
3.900%, 
4/1/2045
430,533
Talen
Energy
Supply,
LLC
329,000
8.625%, 
6/1/2030
h
337,258
TerraForm
Power
Operating,
LLC
750,000
5.000%, 
1/31/2028
h
680,625
Virginia
Electric
and
Power
Company
850,000
4.600%, 
12/1/2048
686,486
Vistra
Operations
Company,
LLC
875,000
5.125%, 
5/13/2025
h
852,619
Principal
Amount
Long-Term
Fixed
Income
(20.5%)
Value
Utilities
(0.3%)
-
continued
$
787,000
5.000%, 
7/31/2027
h
$
723,559
Xcel
Energy,
Inc.
693,000
4.600%, 
6/1/2032
628,864
Total
30,627,111
Total
Long-Term
Fixed
Income
(cost
$2,031,698,127)
1,806,145,360
Shares
Collateral
Held
for
Securities
Loaned
(
0.2%
)
Value
17,942,304
Thrivent
Cash
Management
Trust
17,942,304
Total
Collateral
Held
for
Securities
Loaned
(cost
$17,942,304)
17,942,304
Shares
or
Principal
Amount
Short-Term
Investments
(
11.5%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
800,000
5.265%,
10/4/2023
n,o
799,766
300,000
5.220%,
10/11/2023
n,o
299,606
1,600,000
5.250%,
10/17/2023
n,o
1,596,586
6,200,000
5.270%,
10/25/2023
n,o
6,179,727
1,600,000
5.275%,
11/10/2023
n,o
1,591,131
13,200,000
5.283%,
11/15/2023
n,o
13,117,478
900,000
5.298%,
11/17/2023
n,o
894,119
100,000
5.295%,
11/22/2023
n,o
99,276
9,600,000
5.300%,
12/6/2023
n,o
9,511,227
11,400,000
5.309%,
12/13/2023
n,o
11,283,288
31,900,000
5.315%,
12/15/2023
n,o
31,564,387
Thrivent
Core
Short-Term
Reserve
Fund
93,743,112
5.650%
937,431,118
U.S.
Treasury
Bills
700,000
5.202%,
10/3/2023
n,p
699,898
900,000
5.277%,
11/16/2023
n,p
894,043
Total
Short-Term
Investments
(cost
$1,015,790,814)
1,015,961,650
Total
Investments
(cost
$8,226,981,629)
100.1%
$8,828,718,429
Other
Assets
and
Liabilities,
Net
(0.1%)
(12,254,816)
Total
Net
Assets
100.0%
$8,816,463,613
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
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
All
or
a
portion
of
the
security
is
on
loan.
g
Non-income
producing
security.
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
240
h
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$291,896,134
or
3.3%
of
total
net
assets.
i
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
29,
2023.
j
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
k
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
l
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
m
Defaulted
security.  Interest
is
not
being
accrued.
n
The
interest
rate
shown
reflects
the
yield.
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
September
29,
2023,
$900,952
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
*
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
Moderate
Allocation
Portfolio
as
of
September
29,
2023
was
$646,851
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
September
29,
2023.
Security
Acquisition
Date
Cost
Massachusetts
Mutual
Life
Insurance
Company,
12/1/2061
11/18/2021
$
1,140,996
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Moderate
Allocation
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
8,428,759
Common
Stock
9,038,356
Total
lending
$17,467,115
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$17,942,304
Net
amounts
due
to
counterparty
$475,189
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
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
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
PRIME
-
Federal
Reserve
Prime
Loan
Rate
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
SOFRRATE
-
Secured
Overnight
Financing
Rate
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
TSFR6M
-
CME
Term
SOFR
6
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
241
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
3,283,728
2,841,258
442,470
Capital
Goods
12,733,208
11,276,936
1,456,272
Communications
Services
17,654,770
17,654,770
Consumer
Cyclical
21,068,899
21,068,899
Consumer
Non-Cyclical
19,577,153
18,696,758
880,395
Energy
2,824,038
2,824,038
Financials
9,545,390
9,545,390
Technology
24,700,807
24,700,807
Transportation
7,100,792
7,100,792
Utilities
957,337
957,337
Registered
Investment
Companies
U.S.
Affiliated
2,958,180,471
2,958,180,471
U.S.
Unaffiliated
53,171,911
53,171,911
Common
Stock
Communications
Services
186,733,219
186,625,128
108,091
Consumer
Discretionary
273,037,598
273,037,598
Consumer
Staples
101,708,372
101,708,372
Energy
86,073,951
86,073,951
Financials
313,876,559
313,876,559
Health
Care
304,042,297
304,042,297
Industrials
248,182,897
245,581,983
2,600,914
Information
Technology
587,583,129
584,468,388
3,114,741
Materials
50,354,776
50,195,360
159,416
Real
Estate
74,381,128
74,381,128
Utilities
37,411,697
37,411,697
Long-Term
Fixed
Income
Asset-Backed
Securities
64,165,631
64,165,631
Basic
Materials
15,053,107
15,053,107
Capital
Goods
35,423,679
35,423,679
Collateralized
Mortgage
Obligations
81,554,785
81,554,785
Commercial
Mortgage-Backed
Securities
84,746,292
84,746,292
Communications
Services
52,963,841
52,963,841
Consumer
Cyclical
53,345,153
53,345,153
Consumer
Non-Cyclical
64,458,179
64,458,179
Energy
46,773,492
46,773,492
Financials
154,525,162
154,525,162
Foreign
Government
846,252
846,252
Mortgage-Backed
Securities
433,224,780
433,224,780
Technology
32,191,848
32,191,848
Transportation
15,545,666
15,545,666
U.S.
Government
&
Agencies
640,700,382
640,700,382
Utilities
30,627,111
30,627,111
Short-Term
Investments
78,530,532
78,530,532
Subtotal
Investments
in
Securities
$7,278,860,019
$5,268,754,843
$2,007,326,039
$2,779,137
Other
Investments  *
Total
Affiliated
Short-Term
Investments
937,431,118
U.S.
Affiliated
Registered
Investment
Cos.
594,484,988
Collateral
Held
for
Securities
Loaned
17,942,304
Subtotal
Other
Investments
$
1,549,858,410
Total
Investments
at
Value
$8,828,718,429
*
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
the
table
above
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
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
242
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Moderate
Allocation
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
32,131,799
32,131,799
Total
Asset
Derivatives
$32,131,799
$32,131,799
$–
$–
Liability
Derivatives
Futures
Contracts
69,155,394
69,155,394
Total
Liability
Derivatives
$69,155,394
$69,155,394
$–
$–
The
following
table
presents
Moderate
Allocation
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$76,936,591
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
722
December
2023
$
79,681,472
(
$
1,660,347)
CBOT
2-Yr.
U.S.
Treasury
Note
1,116
December
2023
227,230,992
(
1,005,583)
CBOT
5-Yr.
U.S.
Treasury
Note
960
December
2023
102,248,371
(
1,103,366)
CBOT
U.S.
Long
Bond
340
December
2023
40,932,056
(
2,246,431)
CME
E-mini
S&P
500
Index
6,502
December
2023
1,462,288,040
(
56,067,990)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
639
December
2023
81,699,013
(
5,857,700)
Ultra
10-Yr.
U.S.
Treasury
Note
342
December
2023
39,368,352
(
1,213,977)
Total
Futures
Long
Contracts
$
2,033,448,296
(
$
69,155,394)
CME
E-mini
Russell
2000
Index
(2,993)
December
2023
(
$
280,856,956)
$
11,696,466
CME
E-mini
S&P
Mid-Cap
400
Index
(1,840)
December
2023
(
479,279,428)
15,525,828
CME
Euro
Foreign
Exchange
Currency
(652)
December
2023
(
87,675,796)
1,183,921
Eurex
Euro
STOXX
50
Index
(1,932)
December
2023
(
86,936,514)
1,392,125
ICE
mini
MSCI
EAFE
Index
(196)
December
2023
(
20,578,526)
571,826
ICE
US
mini
MSCI
Emerging
Markets
Index
(1,465)
December
2023
(
71,752,008)
1,761,633
Total
Futures
Short
Contracts
(
$
1,027,079,228)
$32,131,799
Total
Futures
Contracts
$
1,006,369,068
($37,023,595)
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
243
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$161,579
$7,446
$4,416
$160,893
21,713
1.8%
Core
Emerging
Markets
Equity
47,642
48,816
5,867
0.6
Core
Low
Volatility
Equity
267,144
154,001
118,153
10,549
1.3
Core
Mid
Cap
Value
122,060
125,905
12,966
1.4
Core
Small
Cap
Value
142,908
140,719
15,635
1.6
Global
Stock
426,947
5,870
468,200
37,945
5.3
High
Yield
105,010
4,827
1,622
108,944
27,338
1.2
Income
347,483
10,875
7,886
343,343
41,463
3.9
International
Allocation
378,863
7,096
139,000
265,000
30,984
3.0
International
Index
56,839
1,282
60,414
5,034
0.7
Large
Cap
Value
896,302
62,522
917,260
46,030
10.4
Limited
Maturity
Bond
195,177
4,635
3,630
197,605
21,026
2.3
Mid
Cap
Stock
425,581
23,986
445,518
24,714
5.1
Small
Cap
Stock
150,248
21,096
151,895
9,522
1.7
Total
U.S.
Affiliated
Registered
Investment
Companies
3,601,723
3,552,665
40.3
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
1,001,825
1,302,557
1,366,951
937,431
93,743
10.6
Total
Affiliated
Short-Term
Investments
1,001,825
937,431
10.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
16,490
593,222
591,770
17,942
17,942
0.2
Total
Collateral
Held
for
Securities
Loaned
16,490
17,942
0.2
Total
Value
$4,620,038
$4,508,038
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
($1,388)
($2,328)
$
$7,445
Core
Emerging
Markets
Equity
1,174
Core
Low
Volatility
Equity
13,603
(8,593)
Core
Mid
Cap
Value
Fund
3,845
Core
Small
Cap
Value
Fund
(2,189)
Global
Stock
35,383
5,870
High
Yield
(318)
1,047
4,826
Income
(1,365)
(5,764)
10,871
International
Allocation
(2,442)
20,483
7,097
International
Index
2,293
1,282
Large
Cap
Value
(41,564)
46,528
15,994
Limited
Maturity
Bond
(163)
1,586
4,635
Mid
Cap
Stock
(4,049)
22,092
1,895
Small
Cap
Stock
(19,449)
20,140
957
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
38,497
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$99,369
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
152
Total
Affiliated
Income
from
Securities
Loaned,
Net
$152
Total
Value
$7,927
($18,125
)
$
88,760
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
244
Principal
Amount
Bank
Loans
(
0.6%
)
a
Value
Basic
Materials
(<0.1%)
Grinding
Media,
Inc.,
Term
Loan
$
152,444
9.530%, 
(TSFR1M
+
4.000%),
10/12/2028
b,c
$
150,920
INEOS
US
Petrochem,
LLC,
Term
Loan
405,056
8.181%, 
(TSFR1M
+
2.750%),
1/29/2026
b
402,828
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
139,297
8.931%, 
(TSFR1M
+
3.500%),
6/30/2027
b
138,821
Nouryon
USA,
LLC,
Term
Loan
325,261
8.427%, 
(TSFR3M
+
3.000%),
10/1/2025
b
324,717
Spectrum
Group
Buyer,
Inc.,
Term
Loan
137,280
11.953%, 
(TSFR1M
+
6.500%),
5/19/2028
b
131,892
Total
1,149,178
Capital
Goods
(0.1%)
Ali
Group
North
America
Corporation,
Term
Loan
201,435
7.431%, 
(TSFR1M
+
2.000%),
7/22/2029
b
201,155
Brookfield
WEC
Holdings,
Inc.,
Term
Loan
330,601
8.181%, 
(TSFR1M
+
2.750%),
8/1/2025
b
330,217
BW
Holding,
Inc.,
Term
Loan
143,739
9.573%, 
(TSFR1M
+
4.000%),
12/14/2028
b
128,698
Chart
Industries,
Inc.,
Term
Loan
123,689
9.174%, 
(TSFR1M
+
3.750%),
3/17/2030
b,c
123,689
Charter
Next
Generation,
Inc.,
Term
Loan
251,458
9.181%, 
(TSFR1M
+
3.750%),
12/1/2027
b
248,944
Clydesdale
Acquisition
Holdings,
Inc.,
Term
Loan
383,120
9.591%, 
(TSFR1M
+
4.175%),
4/13/2029
b
377,485
Cornerstone
Building
Brands,
Inc.,
Term
Loan
358,442
8.682%, 
(TSFR1M
+
3.250%),
4/12/2028
b
348,811
Emerald
Debt
Merger
Sub,
LLC,
Term
Loan
276,489
8.316%, 
(TSFR1M
+
3.000%),
5/31/2030
b
275,972
EnergySolutions,
LLC,
Term
Loan
98,522
0.000%, 
(TSFR1M
+
4.000%),
9/18/2030
b,c,d,e
97,783
Foley
Products
Company,
LLC,
Term
Loan
123,332
10.290%, 
(SOFRRATE
+
4.750%),
2/16/2029
b
122,689
Proampac
PG
Borrower,
LLC,
Term
Loan
198,676
0.000%, 
(TSFR1M
+
4.500%),
9/26/2028
b,d,e
197,385
Principal
Amount
Bank
Loans
(0.6%)
a
Value
Capital
Goods
(0.1%)
-
continued
Quikrete
Holdings,
Inc.,
Term
Loan
$
75,219
8.056%, 
(TSFR1M
+
2.625%),
1/31/2027
b
$
75,030
364,450
8.181%, 
(TSFR1M
+
2.750%),
3/18/2029
b
364,242
Smyrna
Ready
Mix
Concrete,
LLC,
Term
Loan
262,808
9.666%, 
(TSFR1M
+
4.250%),
4/1/2029
b,c
263,137
TK
Elevator
U.S.
Newco,
Inc.,
Term
Loan
226,719
9.381%, 
(TSFR6M
+
3.500%),
7/31/2027
b
226,038
TransDigm,
Inc.,
Term
Loan
565,160
8.640%, 
(TSFR1M
+
3.250%),
8/24/2028
b
565,070
Vertiv
Group
Corporation,
Term
Loan
221,720
8.192%, 
(TSFR1M
+
2.750%),
3/2/2027
b
221,246
Total
4,167,591
Communications
Services
(0.1%)
Altice
France
SA/France,
Term
Loan
463,624
10.808%, 
(TSFR1M
+
5.500%),
8/31/2028
b
418,537
CCI
Buyer,
Inc.,
Term
Loan
178,173
9.390%, 
(TSFR3M
+
4.000%),
12/17/2027
b
175,612
Cengage
Learning,
Inc.,
Term
Loan
148,089
10.323%, 
(TSFR3M
+
4.750%),
7/14/2026
b
147,200
Charter
Communications
Operating,
LLC,
Term
Loan
557,196
7.116%, 
(TSFR3M
+
1.750%),
2/1/2027
b
556,293
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
414,768
9.130%, 
(TSFR3M
+
3.500%),
8/23/2026
b
402,151
CMG
Media
Corporation,
Term
Loan
260,000
0.000%, 
(LIBOR
3M
+
3.500%),
12/17/2026
b,d,e
237,250
Crown
Subsea
Communications
Holding,
Inc.,
Term
Loan
136,400
10.444%, 
(TSFR1M
+
5.000%),
4/27/2027
b
136,628
177,310
10.694%, 
(TSFR1M
+
5.250%),
4/27/2027
b
177,754
CSC
Holdings,
LLC,
Term
Loan
200,380
7.947%, 
(LIBOR
1M
+
2.500%),
4/15/2027
b
181,010
DIRECTV
Financing,
LLC,
Term
Loan
503,534
10.431%, 
(TSFR1M
+
5.000%),
8/2/2027
b
491,505
Intelsat
Jackson
Holdings
SA,
Term
Loan
260,178
9.772%, 
(TSFR6M
+
4.250%),
2/1/2029
b
259,351
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
245
Principal
Amount
Bank
Loans
(0.6%)
a
Value
Communications
Services
(0.1%)
-
continued
Level
3
Financing,
Inc.,
Term
Loan
$
233,000
7.181%, 
(TSFR1M
+
1.750%),
3/1/2027
b
$
219,661
Lumen
Technologies,
Inc.,
Term
Loan
285,781
7.681%, 
(TSFR1M
+
2.250%),
3/15/2027
b
202,987
McGraw-Hill
Education,
Inc.,
Term
Loan
256,000
10.181%, 
(LIBOR
1M
+
4.750%),
7/30/2028
b,d,e
250,506
MH
Sub
I,
LLC,
Term
Loan
329,288
9.566%, 
(TSFR1M
+
4.250%),
5/3/2028
b
318,122
NEP
Group,
Inc.,
Term
Loan
148,046
8.681%, 
(TSFR1M
+
3.250%),
10/20/2025
b
142,772
Playtika
Holding
Corporation,
Term
Loan
178,173
8.181%, 
(TSFR1M
+
2.750%),
3/11/2028
b
177,839
Radiate
Holdco,
LLC,
Term
Loan
289,810
8.681%, 
(TSFR1M
+
3.250%),
9/25/2026
b
236,363
RLG
Holdings,
LLC,
Term
Loan
143,737
9.681%, 
(TSFR1M
+
4.250%),
7/8/2028
b
134,753
SBA
Senior
Finance
II,
LLC,
Term
Loan
186,176
7.170%, 
(TSFR1M
+
1.750%),
4/11/2025
b,d,e
185,985
UPC
Financing
Partnership,
Term
Loan
136,000
8.372%, 
(TSFR1M
+
2.925%),
1/31/2029
b
133,790
Virgin
Media
Bristol,
LLC,
Term
Loan
339,000
7.947%, 
(TSFR1M
+
2.500%),
1/31/2028
b
328,874
Zayo
Group
Holdings,
Inc.,
Term
Loan
287,000
8.431%, 
(TSFR1M
+
3.000%),
3/9/2027
b
233,707
Ziggo
Financing
Partnership,
Term
Loan
229,000
7.947%, 
(TSFR1M
+
2.500%),
4/30/2028
b
223,465
Total
5,972,115
Consumer
Cyclical
(0.1%)
1011778
B.C.,
ULC,
Term
Loan
554,689
7.566%, 
(TSFR1M
+
2.250%),
9/21/2030
b
552,265
AlixPartners,
LLP,
Term
Loan
156,396
8.181%, 
(TSFR1M
+
2.750%),
2/4/2028
b
156,161
Allied
Universal
Holdco,
LLC,
Term
Loan
553,354
9.166%, 
(TSFR1M
+
3.750%),
5/14/2028
b
533,671
Alterra
Mountain
Company,
Term
Loan
174,222
8.931%, 
(TSFR1M
+
3.500%),
8/17/2028
b
173,642
Principal
Amount
Bank
Loans
(0.6%)
a
Value
Consumer
Cyclical
(0.1%)
-
continued
Arches
Buyer,
Inc.,
Term
Loan
$
96,010
8.666%, 
(TSFR1M
+
3.250%),
12/6/2027
b
$
93,850
Caesars
Entertainment,
Inc.,
Term
Loan
340,290
8.666%, 
(TSFR1M
+
3.250%),
2/6/2030
b
340,079
Carnival
Corporation,
Term
Loan
199,441
8.327%, 
(TSFR1M
+
3.000%),
8/8/2027
b
198,693
142,549
8.681%, 
(TSFR1M
+
3.250%),
10/18/2028
b
141,658
Cinemark
USA,
Inc.,
Term
Loan
141,386
9.089%, 
(TSFR1M
+
3.750%),
5/24/2030
b
141,062
Clarios
Global,
LP,
Term
Loan
297,101
9.066%, 
(TSFR1M
+
3.750%),
5/4/2030
b
296,174
Delta
2
Lux
SARL,
Term
Loan
330,000
8.316%, 
(TSFR1M
+
3.000%),
1/15/2030
b
329,670
Fertitta
Entertainment,
LLC/NV,
Term
Loan
134,633
9.316%, 
(TSFR1M
+
4.000%),
1/27/2029
b
133,119
First
Brands
Group,
LLC,
Term
Loan
174,656
10.881%, 
(TSFR6M
+
5.000%),
3/30/2027
b
172,037
GoDaddy
Operating
Company,
LLC,
Term
Loan
218,353
7.816%, 
(TSFR1M
+
2.500%),
11/10/2029
b
218,421
Great
Outdoors
Group,
LLC,
Term
Loan
308,848
9.181%, 
(TSFR1M
+
3.750%),
3/5/2028
b
307,802
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
274,880
8.181%, 
(TSFR1M
+
2.750%),
10/19/2027
b
272,505
IRB
Holding
Corporation,
Term
Loan
318,574
8.416%, 
(TSFR1M
+
3.000%),
12/15/2027
b
317,102
Light
&
Wonder
International,
Inc.,
Term
Loan
335,602
8.434%, 
(TSFR1M
+
3.000%),
4/14/2029
b
335,182
PetSmart,
LLC,
Term
Loan
436,658
9.166%, 
(TSFR1M
+
3.750%),
2/12/2028
b
434,864
Pilot
Travel
Centers,
LLC,
Term
Loan
373,227
7.416%, 
(TSFR1M
+
2.000%),
8/6/2028
b
372,559
Prime
Security
Services
Borrower,
LLC,
Term
Loan
444,442
8.192%, 
(TSFR1M
+
2.750%),
9/23/2026
b
443,637
Scientific
Games
Holdings,
LP,
Term
Loan
226,710
8.768%, 
(TSFR1M
+
3.500%),
4/4/2029
b
225,198
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
246
Principal
Amount
Bank
Loans
(0.6%)
a
Value
Consumer
Cyclical
(0.1%)
-
continued
Staples,
Inc.,
Term
Loan
$
218,291
10.634%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
$
186,839
Stars
Group
Holdings
BV,
Term
Loan
130,667
7.902%, 
(TSFR3M
+
2.250%),
7/21/2026
b
130,490
UFC
Holdings,
LLC,
Term
Loan
217,560
8.369%, 
(TSFR3M
+
2.750%),
4/29/2026
b
217,214
Total
6,723,894
Consumer
Non-Cyclical
(0.1%)
AI
Aqua
Merger
Sub,
Inc.,
Term
Loan
372,164
9.084%, 
(TSFR1M
+
3.750%),
7/30/2028
b
368,037
Alltech,
Inc.,
Term
Loan
135,026
9.431%, 
(TSFR1M
+
4.000%),
10/15/2028
b
130,131
Amneal
Pharmaceuticals,
LLC,
Term
Loan
299,206
8.931%, 
(TSFR1M
+
3.500%),
5/4/2025
b
293,222
Bausch
+
Lomb
Corporation,
Term
Loan
348,471
8.755%, 
(TSFR1M
+
3.250%),
5/10/2027
b
338,212
121,534
0.000%, 
(TSFR1M
+
4.000%),
9/14/2028
b,c,d,e
119,863
Chobani,
LLC,
Term
Loan
139,363
8.931%, 
(TSFR1M
+
3.500%),
10/23/2027
b
139,232
DaVita,
Inc.,
Term
Loan
111,440
7.181%, 
(TSFR1M
+
1.750%),
8/12/2026
b
109,978
Elanco
Animal
Health,
Inc.,
Term
Loan
175,764
7.180%, 
(TSFR1M
+
1.750%),
8/1/2027
b
172,224
Froneri
U.S.,
Inc.,
Term
Loan
339,491
7.666%, 
(TSFR3M
+
2.250%),
1/31/2027
b
336,673
Gainwell
Acquisition
Corporation,
Term
Loan
475,136
9.490%, 
(TSFR3M
+
4.000%),
10/1/2027
b
462,811
ICON
Luxembourg
SARL,
Term
Loan
353,055
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
352,773
Jazz
Financing
Lux
SARL,
Term
Loan
439,015
8.931%, 
(TSFR1M
+
3.500%),
5/5/2028
b
438,589
LifePoint
Health,
Inc.,
Term
Loan
164,172
0.000%, 
(TSFR1M
+
5.500%),
11/16/2028
b,c,d,e
159,247
438,882
9.377%, 
(TSFR3M
+
3.750%),
11/16/2025
b,d,e
437,420
Medline
Borrower,
LP,
Term
Loan
805,819
8.681%, 
(TSFR1M
+
3.250%),
10/21/2028
b
803,160
Principal
Amount
Bank
Loans
(0.6%)
a
Value
Consumer
Non-Cyclical
(0.1%)
-
continued
Organon
&
Company,
Term
Loan
$
404,251
8.442%, 
(TSFR1M
+
3.000%),
6/2/2028
b
$
403,038
Packaging
Coordinators
Midco,
Inc.,
Term
Loan
131,985
9.152%, 
(TSFR3M
+
3.500%),
11/30/2027
b
131,284
Phoenix
Newco,
Inc.,
Term
Loan
294,506
8.681%, 
(TSFR1M
+
3.250%),
11/15/2028
b
292,164
PRA
Health
Sciences,
Inc.,
Term
Loan
87,964
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
87,894
Reynolds
Consumer
Products,
LLC,
Term
Loan
252,963
7.166%, 
(TSFR1M
+
1.750%),
2/4/2027
b
252,533
Select
Medical
Corporation,
Term
Loan
223,440
8.316%, 
(TSFR1M
+
3.000%),
3/6/2027
b
222,602
Sotera
Health
Holdings,
LLC,
Term
Loan
268,000
8.181%, 
(TSFR1M
+
2.750%),
12/11/2026
b
265,253
Star
Parent,
Inc.,
Term
Loan
304,000
0.000%, 
(TSFR1M
+
4.000%),
9/28/2030
b,d,e
296,865
Total
6,613,205
Energy
(<0.1%)
Buckeye
Partners,
LP,
Term
Loan
221,720
7.666%, 
(TSFR1M
+
2.250%),
11/1/2026
b
221,388
CQP
Holdco,
LP,
Term
Loan
444,453
8.990%, 
(TSFR1M
+
3.500%),
6/4/2028
b
444,350
GIP
II
Blue
Holding,
LP,
Term
Loan
77,021
9.931%, 
(TSFR3M
+
4.500%),
9/29/2028
b
77,118
GIP
III
Stetson
I,
LP,
Term
Loan
118,554
9.666%, 
(TSFR1M
+
4.250%),
7/18/2025
b
118,431
Oryx
Midstream
Services
Permian
Basin,
LLC,
Term
Loan
102,206
8.692%, 
(TSFR3M
+
3.250%),
10/5/2028
b
102,046
Total
963,333
Financials
(0.1%)
Acrisure,
LLC,
Term
Loan
208,836
8.931%, 
(LIBOR
1M
+
3.500%),
2/15/2027
b
205,628
Alliant
Holdings
Intermediate,
LLC,
Term
Loan
87,112
8.831%, 
(TSFR1M
+
3.500%),
11/6/2027
b
86,921
AmWINS
Group,
Inc.,
Term
Loan
335,552
7.681%, 
(TSFR1M
+
2.250%),
2/19/2028
b
333,226
Asurion,
LLC,
Term
Loan
216,152
8.681%, 
(LIBOR
3M
+
3.250%),
12/23/2026
b
211,289
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
247
Principal
Amount
Bank
Loans
(0.6%)
a
Value
Financials
(0.1%)
-
continued
$
219,375
8.681%, 
(TSFR3M
+
3.250%),
7/31/2027
b
$
211,697
29,463
9.666%, 
(TSFR1M
+
4.250%),
8/19/2028
b
28,579
Edelman
Financial
Engines
Center,
LLC,
Term
Loan
91,068
8.931%, 
(TSFR1M
+
3.500%),
4/7/2028
b
89,998
First
Eagle
Holdings,
Inc.,
Term
Loan
91,028
7.990%, 
(TSFR3M
+
2.500%),
2/2/2027
b
90,151
FleetCor
Technologies
Operating
Company,
LLC,
Term  Loan
178,179
7.166%, 
(TSFR1M
+
1.750%),
4/30/2028
b
177,409
Focus
Financial
Partners,
LLC,
Term
Loan
149,865
8.566%, 
(TSFR1M
+
3.250%),
6/30/2028
b
149,345
Howden
Group
Holdings,
Ltd.,
Term
Loan
91,064
8.688%, 
(LIBOR
1M
+
3.250%),
11/12/2027
b
90,677
HUB
International,
Ltd.,
Term
Loan
277,436
9.584%, 
(TSFR1M
+
4.250%),
6/20/2030
b
277,899
Hudson
River
Trading,
LLC,
Term
Loan
96,015
8.631%, 
(TSFR1M
+
3.000%),
3/18/2028
b
95,312
Jane
Street
Group,
LLC,
Term
Loan
178,168
8.181%, 
(TSFR1M
+
2.750%),
1/26/2028
b
177,500
Sedgwick
Claims
Management
Services,
Inc.,
Term
Loan
146,265
9.066%, 
(TSFR1M
+
3.750%),
2/24/2028
b
145,882
Trans
Union,
LLC,
Term
Loan
277,101
7.681%, 
(TSFR1M
+
2.250%),
12/1/2028
b
276,721
USI,
Inc./NY,
Term
Loan
330,660
9.140%, 
(TSFR1M
+
3.750%),
11/22/2029
b
330,154
VFH
Parent,
LLC,
Term
Loan
134,640
8.418%, 
(TSFR1M
+
3.000%),
1/13/2029
b
133,434
Total
3,111,822
Technology
(0.1%)
Amentum
Government
Services
Holdings,
LLC,
Term  Loan
221,754
9.331%, 
(TSFR1M
+
4.000%),
2/15/2029
b
218,291
AthenaHealth
Group,
Inc.,
Term
Loan
429,310
8.568%, 
(PRIME
+
3.250%),
2/15/2029
b
420,591
Boxer
Parent
Company,
Inc.,
Term
Loan
338,995
9.181%, 
(TSFR1M
+
3.750%),
10/2/2025
b
338,480
Principal
Amount
Bank
Loans
(0.6%)
a
Value
Technology
(0.1%)
-
continued
Central
Parent,
Inc.,
Term
Loan
$
397,000
9.640%, 
(TSFR3M
+
4.250%),
7/6/2029
b
$
396,786
Cloud
Software
Group,
Inc.,
Term
Loan
240,790
9.990%, 
(TSFR3M
+
4.500%),
3/30/2029
b
231,209
Coherent
Corporation,
Term
Loan
204,770
8.181%, 
(TSFR3M
+
2.750%),
7/1/2029
b
203,875
CommScope,
Inc.,
Term
Loan
130,520
8.681%, 
(TSFR1M
+
3.250%),
4/4/2026
b
118,839
CoreLogic,
Inc.,
Term
Loan
174,663
8.931%, 
(TSFR1M
+
3.500%),
6/2/2028
b
161,054
Cornerstone
OnDemand,
Inc.,
Term
Loan
243,528
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
231,047
Dcert
Buyer,
Inc.,
Term
Loan
270,200
9.316%, 
(TSFR6M
+
4.000%),
10/16/2026
b
268,144
Dun
&
Bradstreet
Corporation,
Term
Loan
265,196
8.167%, 
(TSFR1M
+
2.750%),
2/8/2026
b
264,615
Entegris,
Inc.,
Term
Loan
189,118
7.871%, 
(TSFR3M
+
2.500%),
7/6/2029
b
189,059
Gen
Digital,
Inc.,
Term
Loan
256,389
7.416%, 
(TSFR1M
+
2.000%),
9/12/2029
b
255,363
Genesys
Cloud
Services
Holdings
II,
LLC,
Term
Loan
222,290
9.431%, 
(TSFR1M
+
4.000%),
12/1/2027
b
222,290
GTCR
W
Merger
Sub,
LLC,
Term
Loan
416,000
0.000%, 
(TSFR1M
+
3.000%),
9/20/2030
b,d,e
415,696
Informatica,
LLC,
Term
Loan
221,749
8.181%, 
(TSFR1M
+
2.750%),
10/29/2028
b
220,780
Magenta
Buyer,
LLC,
Term
Loan
240,167
10.631%, 
(TSFR3M
+
5.000%),
7/27/2028
b
177,990
McAfee
Corporation,
Term
Loan
457,368
9.180%, 
(TSFR1M
+
3.750%),
3/1/2029
b
446,076
Mitchell
International,
Inc.,
Term
Loan
279,166
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
274,199
MKS
Instruments,
Inc.,
Term
Loan
400,950
8.166%, 
(TSFR1M
+
2.750%),
8/17/2029
b
400,304
Open
Text
Corporation,
Term
Loan
344,398
8.166%, 
(TSFR1M
+
2.750%),
1/31/2030
b
344,243
Peraton
Corporation,
Term
Loan
690,361
9.166%, 
(TSFR1M
+
3.750%),
2/1/2028
b
688,207
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
248
Principal
Amount
Bank
Loans
(0.6%)
a
Value
Technology
(0.1%)
-
continued
Polaris
Newco,
LLC,
Term
Loan
$
400,909
9.431%, 
(TSFR3M
+
4.000%),
6/4/2028
b
$
383,297
Proofpoint,
Inc.,
Term
Loan
295,987
8.681%, 
(TSFR1M
+
3.250%),
8/31/2028
b
293,232
RealPage,
Inc.,
Term
Loan
226,687
8.431%, 
(TSFR1M
+
3.000%),
4/22/2028
b
223,853
Tempo
Acquisition,
LLC,
Term
Loan
217,792
8.316%, 
(TSFR1M
+
2.750%),
8/31/2028
b
217,792
UKG,
Inc.,
Term
Loan
475,164
8.618%, 
(TSFR3M
+
3.250%),
5/3/2026
b
473,434
Verscend
Holding
Corporation,
Term
Loan
327,136
9.431%, 
(TSFR1M
+
4.000%),
8/27/2025
b
326,786
Total
8,405,532
Transportation
(<0.1%)
AAdvantage
Loyalty
IP,
Ltd.,
Term
Loan
514,140
10.338%, 
(TSFR3M
+
4.750%),
4/20/2028
b
529,050
Air
Canada,
Term
Loan
422,192
9.128%, 
(TSFR3M
+
3.500%),
8/11/2028
b
422,103
Brown
Group
Holding,
LLC,
Term
Loan
178,053
8.166%, 
(TSFR1M
+
2.750%),
6/7/2028
b
176,235
Genesee
&
Wyoming,
Inc.,
Term
Loan
221,703
7.490%, 
(TSFR3M
+
2.000%),
12/30/2026
b
221,217
Mileage
Plus
Holdings,
LLC,
Term
Loan
251,250
10.798%, 
(TSFR3M
+
5.250%),
6/20/2027
b
260,700
SkyMiles
IP,
Ltd.,
Term
Loan
403,750
9.076%, 
(TSFR3M
+
3.750%),
10/20/2027
b
417,732
United
Airlines,
Inc.,
Term
Loan
255,535
9.182%, 
(TSFR3M
+
3.750%),
4/21/2028
b
255,594
Total
2,282,631
Utilities
(<0.1%)
PG&E
Corporation,
Term
Loan
327,019
8.431%, 
(TSFR1M
+
3.000%),
6/23/2025
b
326,794
Total
326,794
Total
Bank
Loans
(cost
$39,648,316)
39,716,095
Shares
Registered
Investment
Companies
(
49.1%
)
Value
U.S.
Affiliated  (48.5%)
7,363,072
Thrivent
Core
Emerging
Markets
Debt
Fund
54,560,366
Shares
Registered
Investment
Companies
(49.1%)
Value
U.S.
Affiliated  (48.5%)-
continued
12,999,984
Thrivent
Core
Emerging
Markets
Equity
Fund
$
108,159,868
6,413,601
Thrivent
Core
International
Equity
Fund
60,480,262
9,835,893
Thrivent
Core
Low
Volatility
Equity
Fund
110,161,997
10,621,993
Thrivent
Core
Mid
Cap
Value
Fund
103,139,552
10,966,786
Thrivent
Core
Small
Cap
Value
Fund
98,701,075
40,949,319
Thrivent
Global
Stock
Portfolio
505,269,557
8,891,825
Thrivent
High
Yield
Portfolio
35,433,921
13,134,429
Thrivent
Income
Portfolio
108,763,582
51,894,898
Thrivent
International
Allocation
Portfolio
443,846,686
3,580,023
Thrivent
International
Index
Portfolio
42,961,346
33,083,683
Thrivent
Large
Cap
Value
Portfolio
659,275,094
7,133,249
Thrivent
Limited
Maturity
Bond
Portfolio
67,040,411
26,195,877
Thrivent
Mid
Cap
Stock
Portfolio
472,235,703
9,778,341
Thrivent
Small
Cap
Stock
Portfolio
155,988,989
Total
3,026,018,409
U.S.
Unaffiliated  (0.6%)
25,011
Communication
Services
Select
Sector
SPDR
Fund
1,639,971
6,629
Invesco
QQQ
Trust
Series
1
f
2,374,972
7,314
iShares
Biotechnology
ETF
894,429
5,509
SPDR
Bloomberg
High
Yield
Bond
ETF
f
498,014
65,678
SPDR
S&P
500
ETF
Trust
28,076,032
59,154
SPDR
S&P
Biotech
ETF
4,319,425
3,840
SPDR
S&P
Oil
&
Gas
Exploration
ETF
567,974
Total
38,370,817
Total
Registered
Investment
Companies
(cost
$2,786,157,949)
3,064,389,226
Shares
Common
Stock
(
28.7%
)
Value
Communications
Services
(2.2%)
64,445
Alphabet,
Inc.,
Class
A
g
8,433,273
396,949
Alphabet,
Inc.,
Class
C
g
52,337,726
44,910
Altice
USA,
Inc.
g
146,856
23,326
AMC
Networks,
Inc.
g
274,780
9,309
Bumble,
Inc.
g
138,890
82
Cable
One,
Inc.
50,482
150,414
Cargurus,
Inc.
g
2,635,253
154,580
Comcast
Corporation
6,854,077
9,009
DISH
Network
Corporation
g
52,793
830
Electronic
Arts,
Inc.
99,932
22,101
Emerald
Holding,
Inc.
g
99,897
8,996
Entravision
Communications
Corporation
32,835
24,747
Frontier
Communications
Parent,
Inc.
g
387,291
56,623
iHeartMedia,
Inc.
g
178,929
15,015
Imax
Corporation
g
290,090
39,837
Integral
Ad
Science
Holding
Corporation
g
473,662
7,390
Interpublic
Group
of
Companies,
Inc.
211,797
36,009
Liberty
Global
plc,
Class
A
g
616,474
75,315
Liberty
Global
plc,
Class
C
g
1,397,846
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
249
Shares
Common
Stock
(28.7%)
Value
Communications
Services
(2.2%)
-
continued
25,186
Liberty
Latin
America,
Ltd.,
Class
A
g
$
205,518
5,619
Live
Nation
Entertainment,
Inc.
g
466,602
304,087
Lumen
Technologies,
Inc.
g
431,804
4,197
Match
Group,
Inc.
g
164,417
95,825
Meta
Platforms,
Inc.
g
28,767,623
20,102
Netflix,
Inc.
g
7,590,515
1,375
Omnicom
Group,
Inc.
102,410
316,604
QuinStreet,
Inc.
g
2,839,938
1,439
Shutterstock,
Inc.
54,754
10,418
Sinclair,
Inc.
116,890
7,767
TechTarget,
Inc.
g
235,806
17,931
Telephone
and
Data
Systems,
Inc.
328,317
33,087
Trade
Desk,
Inc.
g
2,585,749
4,293
Tripadvisor,
Inc.
g
71,178
243,610
Verizon
Communications,
Inc.
7,895,400
48,103
Walt
Disney
Company
g
3,898,748
59,642
Warner
Brothers
Discovery,
Inc.
g
647,712
5,129
Windstream
Services,
LLC
g
48,725
623
Yelp,
Inc.
g
25,911
82,397
Ziff
Davis,
Inc.
g
5,247,865
Total
136,438,765
Consumer
Discretionary
(3.5%)
18,156
2U,
Inc.
g
44,845
473
Adient
plc
g
17,359
417,969
Amazon.com,
Inc.
g
53,132,219
3,460
American
Axle
&
Manufacturing
Holdings,
Inc.
g
25,120
46,936
American
Eagle
Outfitters,
Inc.
779,607
64,379
Aptiv
plc
g
6,347,126
19,889
Autoliv,
Inc.
1,918,891
150
AutoNation,
Inc.
g
22,710
5,255
Beazer
Homes
USA,
Inc.
g
130,902
2,938
Best
Buy
Company,
Inc.
204,103
1,563
Booking
Holdings,
Inc.
g
4,820,214
37,811
Boot
Barn
Holdings,
Inc.
g
3,069,875
4,143
Brunswick
Corporation
327,297
11,276
Buckle,
Inc.
376,506
26,275
Cedar
Fair,
LP
972,175
363
Cheesecake
Factory,
Inc.
10,999
2,318
Chegg,
Inc.
g
20,677
2,047
Chipotle
Mexican
Grill,
Inc.
g
3,749,756
290,104
Clarus
Corporation
2,193,186
39,413
Columbia
Sportswear
Company
2,920,503
15,920
Container
Store
Group,
Inc.
g
35,820
65,771
Cooper-Standard
Holdings,
Inc.
g
882,647
1,256
Crocs,
Inc.
g
110,817
6,099
Culp,
Inc.
g
34,032
6,000
D.R.
Horton,
Inc.
644,820
45,241
Dana,
Inc.
663,685
3,858
Darden
Restaurants,
Inc.
552,543
5,051
Deckers
Outdoor
Corporation
g
2,596,669
19,189
Domino's
Pizza,
Inc.
7,268,601
1,510
Dorman
Products,
Inc.
g
114,398
8,102
eBay,
Inc.
357,217
6,220
Etsy,
Inc.
g
401,688
349,493
Everi
Holdings,
Inc.
g
4,620,297
1,959
Expedia
Group,
Inc.
g
201,914
34,910
Five
Below,
Inc.
g
5,617,019
6,511
Ford
Motor
Company
80,867
41,438
Fox
Factory
Holding
Corporation
g
4,105,677
41,493
Gap,
Inc.
441,071
75,100
General
Motors
Company
2,476,047
25,726
Gentex
Corporation
837,124
Shares
Common
Stock
(28.7%)
Value
Consumer
Discretionary
(3.5%)
-
continued
26,702
Goodyear
Tire
&
Rubber
Company
g
$
331,906
5,831
Grand
Canyon
Education,
Inc.
g
681,527
8,437
Green
Brick
Partners,
Inc.
g
350,220
30,034
Harley-Davidson,
Inc.
992,924
25,830
Hilton
Worldwide
Holdings,
Inc.
3,879,149
67,451
Home
Depot,
Inc.
20,380,994
747
Hyatt
Hotels
Corporation
79,242
3,060
KB
Home
141,617
47,290
Laureate
Education,
Inc.
666,789
6,638
La-Z-Boy,
Inc.
204,981
10,723
Lear
Corporation
1,439,027
2,425
Lennar
Corporation
272,158
6,497
Lowe's
Companies,
Inc.
1,350,336
5,895
Lululemon
Athletica,
Inc.
g
2,273,171
4,358
M/I
Homes,
Inc.
g
366,246
467
Malibu
Boats,
Inc.
g
22,892
2,244
Marriott
International,
Inc./MD
441,081
337
Marriott
Vacations
Worldwide
Corporation
33,912
15,195
McDonald's
Corporation
4,002,971
18,534
Meritage
Homes
Corporation
2,268,376
10,401
MGM
Resorts
International
382,341
1,376
Modine
Manufacturing
Company
g
62,952
16,880
Mohawk
Industries,
Inc.
g
1,448,473
36,064
Nordstrom,
Inc.
f
538,796
472
NVR,
Inc.
g
2,814,678
4,534
ODP
Corporation
g
209,244
9,264
O'Reilly
Automotive,
Inc.
g
8,419,679
51,773
Papa
John's
International,
Inc.
3,531,954
5,637
PENN
Entertainment,
Inc.
g
129,369
11,764
Playa
Hotels
and
Resorts
NV
g
85,171
10,034
Polaris,
Inc.
1,044,941
6,892
Pool
Corporation
2,454,241
3,188
PulteGroup,
Inc.
236,071
128,020
Qurate
Retail,
Inc.
g
77,657
7,166
Ross
Stores,
Inc.
809,400
19,045
SeaWorld
Entertainment,
Inc.
g
880,831
3,940
Six
Flags
Entertainment
Corporation
g
92,629
34,778
Skyline
Champion
Corporation
g
2,216,054
36,267
Sonos,
Inc.
g
468,207
9,611
Sony
Group
Corporation
ADR
792,043
177,810
Stoneridge,
Inc.
g
3,568,647
1,607
Taylor
Morrison
Home
Corporation
g
68,474
94,019
Tesla,
Inc.
g
23,525,434
305,350
ThredUp,
Inc.
g
1,224,453
1,139
TopBuild
Corporation
g
286,572
29,634
Travel
+
Leisure
Company
1,088,457
20
Ulta
Beauty,
Inc.
g
7,989
14,802
Upbound
Group,
Inc.
435,919
14,738
Urban
Outfitters,
Inc.
g
481,785
239
Vail
Resorts,
Inc.
53,032
594
Visteon
Corporation
g
82,014
20,916
Wendy's
Company
426,896
12,344
Wingstop,
Inc.
2,219,945
25,859
Wyndham
Hotels
&
Resorts,
Inc.
1,798,235
Total
215,269,125
Consumer
Staples
(1.3%)
64,836
Altria
Group,
Inc.
2,726,354
11,040
Archer-Daniels-Midland
Company
832,637
79,810
BJ's
Wholesale
Club
Holdings,
Inc.
g
5,696,040
1,270
Boston
Beer
Company,
Inc.
g
494,703
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
250
Shares
Common
Stock
(28.7%)
Value
Consumer
Staples
(1.3%)
-
continued
3,278
Cal-Maine
Foods,
Inc.
$
158,721
10,833
Casey's
General
Stores,
Inc.
2,941,376
32,723
Celsius
Holdings,
Inc.
g
5,615,267
136,293
Coca-Cola
Company
7,629,682
45,185
Colgate-Palmolive
Company
3,213,105
61,611
Coty,
Inc.
g
675,873
2,074
Darling
Ingredients,
Inc.
g
108,263
41,145
e.l.f.
Beauty,
Inc.
g
4,518,955
22,425
Flowers
Foods,
Inc.
497,387
2,547
Hain
Celestial
Group,
Inc.
g
26,412
358
Hershey
Company
71,629
8,444
Hormel
Foods
Corporation
321,125
1,599
Ingredion,
Inc.
157,342
15,891
J
&
J
Snack
Foods
Corporation
2,600,562
11,956
John
B.
Sanfilippo
&
Son,
Inc.
1,181,253
23,516
Kenvue,
Inc.
472,201
41,391
Kimberly-Clark
Corporation
5,002,102
6,335
Kroger
Company
283,491
10,444
Lamb
Weston
Holdings,
Inc.
965,652
24,280
Lancaster
Colony
Corporation
4,006,928
48,307
Mondelez
International,
Inc.
3,352,506
1,255
PepsiCo,
Inc.
212,647
15,559
Philip
Morris
International,
Inc.
1,440,452
39,165
Pilgrim's
Pride
Corporation
g
894,137
1,368
PriceSmart,
Inc.
101,820
84,648
Primo
Water
Corporation
1,168,142
21,953
Procter
&
Gamble
Company
3,202,065
206
Seneca
Foods
Corporation
g
11,089
7,838
Simply
Good
Foods
Company
g
270,568
3,513
SpartanNash
Company
77,286
12,111
Sysco
Corporation
799,932
131,378
Turning
Point
Brands,
Inc.
3,033,518
2,978
Tyson
Foods,
Inc.
150,359
118,258
US
Foods
Holding
Corporation
g
4,694,843
70,041
Walmart,
Inc.
11,201,657
Total
80,808,081
Energy
(1.0%)
14,561
APA
Corporation
598,457
18,672
BP
plc
ADR
722,980
4,164
Cactus,
Inc.
209,074
5,413
California
Resources
Corporation
303,182
8,227
Cheniere
Energy,
Inc.
1,365,353
1,422
Chesapeake
Energy
Corporation
122,619
25,759
Chevron
Corporation
4,343,483
2,793
Chord
Energy
Corporation
452,662
532
Civitas
Resources,
Inc.
43,023
2,575
Comstock
Resources,
Inc.
28,402
12,366
ConocoPhillips
1,481,447
4,757
CVR
Energy,
Inc.
161,881
12,795
Devon
Energy
Corporation
610,322
37,144
Enterprise
Products
Partners,
LP
1,016,631
3,361
Evolution
Petroleum
Corporation
22,989
49,277
Exxon
Mobil
Corporation
5,793,990
8,335
Gran
Tierra
Energy,
Inc.
g
57,845
190,226
Halliburton
Company
7,704,153
3,030
Helmerich
&
Payne,
Inc.
127,745
6,795
HF
Sinclair
Corporation
386,839
20,954
International
Seaways,
Inc.
942,930
74,854
Liberty
Energy,
Inc.
1,386,296
10,221
Magnolia
Oil
&
Gas
Corporation
234,163
11,068
Marathon
Oil
Corporation
296,069
33,074
Marathon
Petroleum
Corporation
5,005,419
65,212
Matador
Resources
Company
3,878,810
15,594
Murphy
Oil
Corporation
707,188
Shares
Common
Stock
(28.7%)
Value
Energy
(1.0%)
-
continued
104,451
NOV,
Inc.
$
2,183,026
1,499
ONEOK,
Inc.
95,082
10,026
Ovintiv,
Inc.
476,937
26,427
Par
Pacific
Holdings,
Inc.
g
949,786
7,135
Patterson-UTI
Energy,
Inc.
98,748
13,395
PBF
Energy,
Inc.
717,034
12,257
Phillips
66
1,472,679
34,584
Pioneer
Natural
Resources
Company
7,938,757
84,025
ProPetro
Holding
Corporation
g
893,186
37,493
RPC,
Inc.
335,187
22,396
SM
Energy
Company
888,001
4,651
Solaris
Oilfield
Infrastructure,
Inc.
49,580
53,942
Talos
Energy,
Inc.
g
886,807
337,542
TechnipFMC
plc
6,865,604
25,682
U.S.
Silica
Holdings,
Inc.
g
360,575
37,425
Viper
Energy
Partners,
LP
1,043,409
9,128
Williams
Companies,
Inc.
307,522
Total
63,565,872
Financials
(3.9%)
10,550
Allstate
Corporation
1,175,376
64,683
Ally
Financial,
Inc.
1,725,742
13,935
Amalgamated
Financial
Corporation
239,961
5,522
Amerant
Bancorp,
Inc.
96,304
67,755
American
Express
Company
10,108,368
4,530
American
Financial
Group,
Inc.
505,865
13,671
American
International
Group,
Inc.
828,463
19,930
Ameriprise
Financial,
Inc.
6,570,522
1,685
Ameris
Bancorp
64,687
11,931
Annaly
Capital
Management,
Inc.
224,422
125
Apollo
Global
Management,
Inc.
11,220
2,611
Arch
Capital
Group,
Ltd.
g
208,123
13,660
Arthur
J.
Gallagher
&
Company
3,113,524
7,998
Artisan
Partners
Asset
Management,
Inc.
299,285
23,430
Associated
Banc-Corp
400,887
2,218
Assurant,
Inc.
318,460
5,546
Assured
Guaranty,
Ltd.
335,644
1,202
Atlantic
Union
Bankshares
Corporation
34,594
2,120
Axis
Capital
Holdings,
Ltd.
119,504
860
Axos
Financial,
Inc.
g
32,560
20,058
Banc
of
California,
Inc.
f
248,318
95,076
Bank
of
America
Corporation
2,603,181
2,986
Bank
of
Hawaii
Corporation
f
148,374
12,177
Bank
of
Marin
Bancorp
222,596
27,500
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
744,700
40,500
Bank
of
New
York
Mellon
Corporation
1,727,325
5,455
Bank
OZK
202,217
5,925
BankFinancial
Corporation
51,074
14,060
BankUnited,
Inc.
319,162
8,708
Banner
Corporation
369,045
1,907
BayCom
Corporation
36,633
11,156
BCB
Bancorp,
Inc.
124,278
20,005
Berkshire
Hathaway,
Inc.
g
7,007,752
12,827
Berkshire
Hills
Bancorp,
Inc.
257,181
3,376
BlackRock,
Inc.
2,182,550
3,864
Block,
Inc.
g
171,021
706
BOK
Financial
Corporation
56,466
64,328
Bridgewater
Bancshares,
Inc.
g
609,829
11,162
Brighthouse
Financial,
Inc.
g
546,268
18,540
Brookline
Bancorp,
Inc.
168,899
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
251
Shares
Common
Stock
(28.7%)
Value
Financials
(3.9%)
-
continued
8,580
Business
First
Bancshares,
Inc.
$
160,961
17,458
Byline
Bancorp,
Inc.
344,097
9,016
Cadence
Bank
191,320
6,630
Capital
One
Financial
Corporation
643,442
45,371
Carlyle
Group,
Inc.
1,368,389
1,581
Cathay
General
Bancorp
54,956
39,020
Central
Pacific
Financial
Corporation
650,854
1,022
Central
Valley
Community
Bancorp
14,420
34,648
Charles
Schwab
Corporation
1,902,175
22,355
Chubb,
Ltd.
4,653,864
23,024
Cincinnati
Financial
Corporation
2,355,125
28,127
Citigroup,
Inc.
1,156,864
29,640
Citizens
Financial
Group,
Inc.
794,352
9,423
CNB
Financial
Corporation
170,651
28,534
Columbia
Banking
System,
Inc.
579,240
31,974
Comerica,
Inc.
1,328,520
7,101
Commerce
Bancshares,
Inc.
340,706
1,323
Community
Bank
System,
Inc.
55,844
15,200
Community
Trust
Bancorp,
Inc.
520,752
8,283
ConnectOne
Bancorp,
Inc.
147,686
3,685
CrossFirst
Bankshares,
Inc.
g
37,182
3,550
Cullen/Frost
Bankers,
Inc.
323,796
7,726
Customers
Bancorp,
Inc.
g
266,161
5,276
CVB
Financial
Corporation
87,423
21,902
Dime
Community
Bancshares,
Inc.
437,164
6,129
Discover
Financial
Services
530,955
17,788
Eagle
Bancorp,
Inc.
381,553
12,633
East
West
Bancorp,
Inc.
665,885
3,478
Eastern
Bankshares,
Inc.
43,614
15,244
Ellington
Residential
Mortgage
REIT
94,665
4,618
Employers
Holdings,
Inc.
184,489
8,616
Enova
International,
Inc.
g
438,296
7,959
Enterprise
Financial
Services
Corporation
298,463
4,552
Equity
Bancshares,
Inc.
109,567
2,759
Euronet
Worldwide,
Inc.
g
219,009
460
EVERTEC,
Inc.
17,103
18,469
F.N.B.
Corporation
199,281
15,767
FactSet
Research
Systems,
Inc.
6,894,278
75,069
Federated
Hermes,
Inc.
2,542,587
6,867
Fidelity
National
Information
Services,
Inc.
379,539
5,109
Fifth
Third
Bancorp
129,411
12,699
Financial
Institutions,
Inc.
213,724
6,601
First
Bancorp/Puerto
Rico
88,849
138
First
Citizens
BancShares,
Inc./NC
190,454
3,079
First
Commonwealth
Financial
Corporation
37,595
827
First
Financial
Bancorp
16,209
5,563
First
Financial
Bankshares,
Inc.
139,743
5,966
First
Financial
Corporation
201,710
27,333
First
Foundation,
Inc.
166,185
2,556
First
Hawaiian,
Inc.
46,136
54,139
First
Horizon
Corporation
596,612
5,737
First
Internet
Bancorp
92,997
1,501
First
Interstate
BancSystem,
Inc.
37,435
4,368
First
Merchants
Corporation
121,518
1,929
First
Mid-Illinois
Bancshares,
Inc.
51,234
11,850
First
of
Long
Island
Corporation
136,394
13,382
Fiserv,
Inc.
g
1,511,631
845
Five
Star
Bancorp
16,951
2,014
FleetCor
Technologies,
Inc.
g
514,255
16,065
Flushing
Financial
Corporation
210,933
Shares
Common
Stock
(28.7%)
Value
Financials
(3.9%)
-
continued
28,359
Fulton
Financial
Corporation
$
343,427
30,863
Genworth
Financial,
Inc.
g
180,857
25,414
Glacier
Bancorp,
Inc.
724,299
2,294
Global
Life,
Inc.
249,427
6,524
Global
Payments,
Inc.
752,804
9,172
Great
Southern
Bancorp,
Inc.
439,522
8,441
Green
Dot
Corporation
g
117,583
33,717
Hamilton
Lane,
Inc.
3,049,365
3,261
Hancock
Whitney
Corporation
120,624
38,830
Hanmi
Financial
Corporation
630,211
6,515
Hanover
Insurance
Group,
Inc.
723,035
7,373
Hartford
Financial
Services
Group,
Inc.
522,819
57,582
Heartland
Financial
USA,
Inc.
1,694,638
34,135
Heritage
Commerce
Corporation
289,123
24,422
Heritage
Financial
Corporation
398,323
9,701
Home
BancShares,
Inc.
203,139
18,861
HomeStreet,
Inc.
f
146,927
13,835
Hometrust
Bancshares,
Inc.
299,804
81,517
Hope
Bancorp,
Inc.
721,425
20,048
Horizon
Bancorp,
Inc.
214,113
61,685
Houlihan
Lokey,
Inc.
6,607,697
21,903
Huntington
Bancshares,
Inc.
227,791
5,993
Independent
Bank
Corporation
294,196
14,206
Independent
Bank
Corporation/MI
260,538
105,825
Intercontinental
Exchange,
Inc.
11,642,867
1,304
International
Bancshares
Corporation
56,515
27,604
Invesco
Mortgage
Capital,
Inc.
276,316
25,888
Invesco,
Ltd.
375,894
87,073
J.P.
Morgan
Chase
&
Company
12,627,326
1,454
Jack
Henry
&
Associates,
Inc.
219,758
54,403
Janus
Henderson
Group
plc
1,404,685
9,477
Kearny
Financial
Corporation/MD
65,676
20,187
KeyCorp
217,212
28,472
Kinsale
Capital
Group,
Inc.
11,791,109
10,389
Lazard,
Ltd.
322,163
5,857
Loews
Corporation
370,807
6,674
M&T
Bank
Corporation
843,927
3,290
Marsh
&
McLennan
Companies,
Inc.
626,087
61,672
Mastercard,
Inc.
24,416,562
2,710
Mercantile
Bank
Corporation
83,766
11,368
MetLife,
Inc.
715,161
12,260
Metropolitan
Bank
Holding
Corporation
f,g
444,793
41,432
MFA
Financial,
Inc.
398,162
163,480
MGIC
Investment
Corporation
2,728,481
2,224
Mid
Penn
Bancorp,
Inc.
44,769
13,234
Midland
States
Bancorp,
Inc.
271,826
22,902
MidWestOne
Financial
Group,
Inc.
465,598
6,396
Morgan
Stanley
522,361
28,177
Mr.
Cooper
Group,
Inc.
g
1,509,160
8,380
MSCI,
Inc.
4,299,610
1,797
MVB
Financial
Corporation
40,576
68,172
Nasdaq,
Inc.
3,312,477
24,133
Navient
Corporation
415,570
51,045
New
York
Community
Bancorp,
Inc.
578,850
60,366
NMI
Holdings,
Inc.
g
1,635,315
701
Northrim
BanCorp,
Inc.
27,774
52,269
NU
Holdings,
Ltd./Cayman
Islands
g
378,950
17,462
OceanFirst
Financial
Corporation
252,675
7,864
OFG
Bancorp
234,819
14,988
Old
National
Bancorp
217,926
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
252
Shares
Common
Stock
(28.7%)
Value
Financials
(3.9%)
-
continued
12,399
Old
Republic
International
Corporation
$
334,029
6,459
Old
Second
Bancorp,
Inc.
87,907
34,087
OneMain
Holdings,
Inc.
1,366,548
1,886
Pacific
Premier
Bancorp,
Inc.
41,039
198,047
PayPal
Holdings,
Inc.
g
11,577,828
3,708
PCB
Bancorp
57,289
2,967
PennyMac
Financial
Services,
Inc.
197,602
4,203
Pinnacle
Financial
Partners,
Inc.
281,769
1,011
PNC
Financial
Services
Group,
Inc.
124,120
8,301
Popular,
Inc.
523,046
13,248
Premier
Financial
Corporation
226,011
1,125
PROG
Holdings,
Inc.
g
37,361
5,196
Prosperity
Bancshares,
Inc.
283,598
9,913
Provident
Financial
Services,
Inc.
151,570
4,121
Prudential
Financial,
Inc.
391,042
31,684
Radian
Group,
Inc.
795,585
66,291
Raymond
James
Financial,
Inc.
6,657,605
6,696
Regions
Financial
Corporation
115,171
94
Reinsurance
Group
of
America,
Inc.
13,648
167,694
Rithm
Capital
Corporation
1,557,877
41,938
RLI
Corporation
5,698,955
3,167
S&T
Bancorp,
Inc.
85,762
11,815
Sandy
Spring
Bancorp,
Inc.
253,195
42,800
SEI
Investments
Company
2,577,844
7,840
Shore
Bancshares,
Inc.
82,477
2,299
Simmons
First
National
Corporation
38,991
1,721
SmartFinancial,
Inc.
36,778
978
Southern
First
Bancshares,
Inc.
g
26,347
4,455
SouthState
Corporation
300,089
7,077
Synchrony
Financial
216,344
19,287
Synovus
Financial
Corporation
536,179
3,189
T.
Rowe
Price
Group,
Inc.
334,430
5,848
Territorial
Bancorp,
Inc.
53,158
23,918
TPG,
Inc.
720,410
27,190
Tradeweb
Markets,
Inc.
2,180,638
84,788
Triumph
Financial,
Inc.
g
5,493,415
10,764
TrustCo
Bank
Corporation
NY
293,750
13,043
Trustmark
Corporation
283,424
30,417
Two
Harbors
Investment
Corporation
402,721
4,390
U.S.
Bancorp
145,133
3,094
UMB
Financial
Corporation
191,983
6,563
United
Bankshares,
Inc.
181,073
4,441
United
Community
Banks,
Inc.
112,846
12,178
Univest
Financial
Corporation
211,654
38,344
Unum
Group
1,886,141
30,491
Valley
National
Bancorp
261,003
18,631
Veritex
Holdings,
Inc.
334,426
45,808
Virtu
Financial,
Inc.
791,104
3,790
Visa,
Inc.
871,738
7,827
Voya
Financial,
Inc.
520,104
3,963
W.R.
Berkley
Corporation
251,611
2,268
Walker
&
Dunlop,
Inc.
168,376
12,646
Washington
Federal,
Inc.
323,991
190
Webster
Financial
Corporation
7,659
65,893
Wells
Fargo
&
Company
2,692,388
6,616
Westamerica
Bancorporation
286,142
116,933
Western
Alliance
Bancorp
5,375,410
137,259
Western
Union
Company
1,809,074
1,545
WEX,
Inc.
g
290,599
242
Willis
Towers
Watson
plc
50,568
Shares
Common
Stock
(28.7%)
Value
Financials
(3.9%)
-
continued
3,205
Wintrust
Financial
Corporation
$
241,978
1,041
WSFS
Financial
Corporation
37,997
23,045
Zions
Bancorp
NA
804,040
Total
245,645,384
Health
Care
(3.8%)
57,690
Abbott
Laboratories
5,587,276
3,416
ACADIA
Pharmaceuticals,
Inc.
g
71,189
25,559
Agilent
Technologies,
Inc.
2,858,007
3,990
Agiliti,
Inc.
g
25,895
8,999
Agios
Pharmaceuticals,
Inc.
g
222,725
19,806
Aldeyra
Therapeutics,
Inc.
g
132,304
540
Align
Technology,
Inc.
g
164,873
46,674
Alkermes
plc
g
1,307,339
274
Alnylam
Pharmaceuticals,
Inc.
g
48,525
30,148
Amgen,
Inc.
8,102,576
13,695
Amicus
Therapeutics,
Inc.
g
166,531
5,838
Amphastar
Pharmaceuticals,
Inc.
g
268,490
5,973
Anika
Therapeutics,
Inc.
g
111,277
12,759
Apellis
Pharmaceuticals,
Inc.
g
485,352
11,417
Argenx
SE
ADR
g
5,612,940
19,073
Ascendis
Pharma
AS
ADR
g
1,785,996
6,245
AstraZeneca
plc
ADR
422,911
6,416
Avanos
Medical,
Inc.
g
129,732
113,079
Avantor,
Inc.
g
2,383,705
29,693
Azenta,
Inc.
g
1,490,292
80,952
Baxter
International,
Inc.
3,055,128
4,860
Biogen,
Inc.
g
1,249,069
374
BioMarin
Pharmaceutical,
Inc.
g
33,092
479
Bio-Rad
Laboratories,
Inc.
g
171,698
44,782
Bio-Techne
Corporation
3,048,311
1,724
Blueprint
Medicines
Corporation
g
86,579
5,241
Bruker
Corporation
326,514
2,323
Cardinal
Health,
Inc.
201,683
1,011
Cencora,
Inc.
181,950
3,643
Centene
Corporation
g
250,930
6,258
Charles
River
Laboratories
International,
Inc.
g
1,226,443
3,633
Cigna
Group
1,039,292
10,636
Codexis,
Inc.
g
20,102
15,842
Community
Health
Systems,
Inc.
g
45,942
7,567
Cooper
Companies,
Inc.
2,406,382
26,833
CVS
Health
Corporation
1,873,480
55,219
Danaher
Corporation
13,699,834
17,403
Deciphera
Pharmaceuticals,
Inc.
g
221,366
66,638
Dentsply
Sirona,
Inc.
2,276,354
26,845
Dexcom,
Inc.
g
2,504,638
36,375
Dynavax
Technologies
Corporation
g
537,259
32,074
Edwards
Lifesciences
Corporation
g
2,222,087
213,428
Elanco
Animal
Health,
Inc.
g
2,398,931
2,465
Elevance
Health,
Inc.
1,073,310
2,707
Eli
Lilly
&
Company
1,454,011
3,435
Enanta
Pharmaceuticals,
Inc.
g
38,369
98,141
Enovis
Corporation
g
5,174,975
18,597
Exelixis,
Inc.
g
406,344
13,359
Gilead
Sciences,
Inc.
1,001,123
6,442
Globus
Medical,
Inc.
g
319,845
18,413
GoodRx
Holdings,
Inc.
g
103,665
103,122
Halozyme
Therapeutics,
Inc.
g
3,939,260
2,670
HCA
Healthcare,
Inc.
656,767
17,567
Hologic,
Inc.
g
1,219,150
7,499
ICON
plc
g
1,846,629
219
IDEXX
Laboratories,
Inc.
g
95,762
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
253
Shares
Common
Stock
(28.7%)
Value
Health
Care
(3.8%)
-
continued
35,719
Immunocore
Holdings
plc
ADR
g
$
1,853,816
72,889
Inmode,
Ltd.
g
2,220,199
9,798
Inspire
Medical
Systems,
Inc.
g
1,944,315
29,632
Intuitive
Surgical,
Inc.
g
8,661,137
1,632
IQVIA
Holding,
Inc.
g
321,096
3,342
Jazz
Pharmaceuticals,
Inc.
g
432,588
12,927
Johnson
&
Johnson
2,013,380
1,062
Kiniksa
Pharmaceuticals,
Ltd.
g
18,447
7,934
Kura
Oncology,
Inc.
g
72,358
33,870
Laboratory
Corporation
of
America
Holdings
6,809,564
61,214
Lantheus
Holdings,
Inc.
g
4,253,149
256
Ligand
Pharmaceuticals,
Inc.
g
15,340
3,701
LivaNova
plc
g
195,709
431,783
Maravai
LifeSciences
Holdings,
Inc.
g
4,317,830
1,191
Masimo
Corporation
g
104,427
119
Medpace
Holdings,
Inc.
g
28,813
155,948
Medtronic
plc
12,220,085
62,448
Merck
&
Company,
Inc.
6,429,022
22,802
Molina
Healthcare,
Inc.
g
7,476,548
8,331
Myriad
Genetics,
Inc.
g
133,629
30,093
Natera,
Inc.
g
1,331,615
7,618
National
HealthCare
Corporation
487,400
83,122
Novo
Nordisk
AS
ADR
g
7,559,115
7,999
OraSure
Technologies,
Inc.
g
47,434
9,894
Pacira
Pharmaceuticals,
Inc.
g
303,548
10,663
Pediatrix
Medical
Group,
Inc.
g
135,527
54,369
Pfizer,
Inc.
1,803,420
87,731
Phreesia,
Inc.
g
1,638,815
132,243
Point
Biopharma
Global,
Inc.
g
882,061
183,514
Progyny,
Inc.
g
6,243,146
11,288
Qiagen
NV
g
457,164
9,420
QuidelOrtho
Corporation
g
688,037
147,277
R1
RCM,
Inc.
g
2,219,464
29,794
Repligen
Corporation
g
4,737,544
14,236
Revance
Therapeutics,
Inc.
g
163,287
16,493
Rocket
Pharmaceuticals,
Inc.
g
337,942
3,510
Royalty
Pharma
plc
95,261
13,886
Sarepta
Therapeutics,
Inc.
g
1,683,261
176,697
scPharmaceuticals,
Inc.
g
1,258,083
7,510
Sensus
Healthcare,
Inc.
g
20,803
11,616
ShockWave
Medical,
Inc.
g
2,312,746
2,608
Teleflex,
Inc.
512,237
13,493
TG
Therapeutics,
Inc.
g
112,801
10,964
Thermo
Fisher
Scientific,
Inc.
5,549,648
40,830
UnitedHealth
Group,
Inc.
20,586,078
6,334
Vanda
Pharmaceuticals,
Inc.
g
27,363
17,351
Veeva
Systems,
Inc.
g
3,530,061
23,355
Veracyte,
Inc.
g
521,517
86,043
Vericel
Corporation
g
2,884,161
3,741
Vertex
Pharmaceuticals,
Inc.
g
1,300,895
80,503
Viemed
Healthcare,
Inc.
g
541,785
25,372
Vor
BioPharma,
Inc.
f,g
53,789
10,138
Waters
Corporation
g
2,779,941
2,062
West
Pharmaceutical
Services,
Inc.
773,683
6,067
Zentalis
Pharmaceuticals,
Inc.
g
121,704
8,856
Zimmer
Biomet
Holdings,
Inc.
993,820
91,610
Zoetis,
Inc.
15,938,308
Total
237,939,125
Industrials
(3.5%)
8,324
A.O.
Smith
Corporation
550,466
4,387
Acuity
Brands,
Inc.
747,150
Shares
Common
Stock
(28.7%)
Value
Industrials
(3.5%)
-
continued
25,037
Advanced
Drainage
Systems,
Inc.
$
2,849,962
11,158
AGCO
Corporation
1,319,768
68,648
Air
Lease
Corporation
2,705,418
34,000
Alaska
Air
Group,
Inc.
g
1,260,720
2,049
American
Woodmark
Corporation
g
154,925
30,126
AMETEK,
Inc.
4,451,418
1,649
Apogee
Enterprises,
Inc.
77,635
16,500
Armstrong
World
Industries,
Inc.
1,188,000
84,469
ASGN,
Inc.
g
6,899,428
18,877
Automatic
Data
Processing,
Inc.
4,541,429
379
Axon
Enterprise,
Inc.
g
75,417
6,769
AZZ,
Inc.
308,531
167,313
Badger
Infrastructure
Solutions,
Ltd.
4,273,210
32,657
Barnes
Group,
Inc.
1,109,358
25,615
Beacon
Roofing
Supply,
Inc.
g
1,976,710
4,096
Boise
Cascade
Company
422,052
5,455
Builders
FirstSource,
Inc.
g
679,093
10,478
Carlisle
Companies,
Inc.
2,716,526
1,771
Caterpillar,
Inc.
483,483
27,703
Chart
Industries,
Inc.
g
4,685,131
18,160
Cimpress
plc
g
1,271,382
2,661
Cintas
Corporation
1,279,968
49,865
CNH
Industrial
NV
603,366
585
Columbus
McKinnon
Corporation
20,422
40,335
Conduent
Incorporated
g
140,366
4,453
CSW
Industrials,
Inc.
780,344
139,935
CSX
Corporation
4,303,001
16,627
Cummins,
Inc.
3,798,604
14,502
Curtiss-Wright
Corporation
2,837,026
4,382
Daseke,
Inc.
g
22,480
6,653
Deere
&
Company
2,510,709
19,665
Delta
Air
Lines,
Inc.
727,605
8,549
Donaldson
Company,
Inc.
509,862
58
Dover
Corporation
8,092
10,254
EMCOR
Group,
Inc.
2,157,339
437
Equifax,
Inc.
80,050
216,600
ExlService
Holdings,
Inc.
g
6,073,464
3,442
Expeditors
International
of
Washington,
Inc.
394,556
160,083
Fastenal
Company
8,746,935
25,279
Ferguson
plc
4,157,637
131,521
First
Advantage
Corporation
1,813,675
13,820
Flowserve
Corporation
549,621
33,429
Fluor
Corporation
g
1,226,844
2,274
Forrester
Research,
Inc.
g
65,719
14,533
Fortune
Brands
Innovations,
Inc.
903,371
7,729
Gates
Industrial
Corporation
plc
g
89,734
4,310
General
Dynamics
Corporation
952,381
6,919
Gibraltar
Industries,
Inc.
g
467,102
252
GMS,
Inc.
g
16,120
1,126
Gorman-Rupp
Company
37,045
24,911
Greenbrier
Companies,
Inc.
996,440
2,777
Griffon
Corporation
110,164
636
Heidrick
&
Struggles
International,
Inc.
15,913
66,532
Helios
Technologies,
Inc.
3,691,195
5,090
Herc
Holdings,
Inc.
605,405
16,307
Hillman
Solutions
Corporation
g
134,533
3,107
Honeywell
International,
Inc.
573,987
176,927
Howmet
Aerospace,
Inc.
8,182,874
3,429
Hubbell,
Inc.
1,074,683
3,082
IDEX
Corporation
641,118
1,338
Ingersoll
Rand,
Inc.
85,257
7,598
Interface,
Inc.
74,536
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
254
Shares
Common
Stock
(28.7%)
Value
Industrials
(3.5%)
-
continued
378,357
Janus
International
Group,
Inc.
g
$
4,048,420
2,381
JB
Hunt
Transport
Services,
Inc.
448,866
40,134
JetBlue
Airways
Corporation
g
184,616
7,699
Johnson
Controls
International
plc
409,664
13,104
Kennametal,
Inc.
326,027
5,311
L3Harris
Technologies,
Inc.
924,751
21,445
Lincoln
Electric
Holdings,
Inc.
3,898,487
19,137
ManpowerGroup,
Inc.
1,403,125
29,202
Masco
Corporation
1,560,847
92,233
Masterbrand,
Inc.
g
1,120,631
5,104
Matson,
Inc.
452,827
18,264
Maximus,
Inc.
1,363,955
40,238
Middleby
Corporation
g
5,150,464
25,429
Miller
Industries,
Inc.
997,071
7,294
Moog,
Inc.
823,930
7,502
MSC
Industrial
Direct
Company,
Inc.
736,321
1,825
MYR
Group,
Inc.
g
245,937
573
National
Presto
Industries,
Inc.
41,520
17,554
Northrop
Grumman
Corporation
7,727,095
17,517
nVent
Electric
plc
928,226
7,261
Old
Dominion
Freight
Line,
Inc.
2,970,766
47,786
Oshkosh
Corporation
4,560,218
3,296
Otis
Worldwide
Corporation
264,702
38,260
Owens
Corning,
Inc.
5,219,047
14,818
PACCAR,
Inc.
1,259,826
18,419
Parker-Hannifin
Corporation
7,174,569
1,229
Paycom
Software,
Inc.
318,643
1,367
Paylocity
Holding
Corporation
g
248,384
69,684
Pentair
plc
4,512,039
610
Quanta
Services,
Inc.
114,113
84,303
RB
Global,
Inc.
5,268,937
22,475
Regal
Rexnord
Corporation
3,211,228
4,406
Republic
Services,
Inc.
627,899
7,794
Resideo
Technologies,
Inc.
g
123,145
12,037
Saia,
Inc.
g
4,798,550
49,576
Schneider
National,
Inc.
1,372,759
25,101
Simpson
Manufacturing
Company,
Inc.
3,760,381
10,439
SiteOne
Landscape
Supply,
Inc.
g
1,706,255
17,897
SkyWest,
Inc.
g
750,600
765
Snap-On,
Inc.
195,121
20,851
Southwest
Airlines
Company
564,437
12,074
Standex
International
Corporation
1,759,061
2,190
Sterling
Construction
Company,
Inc.
g
160,921
15,652
Tennant
Company
1,160,596
11,613
Terex
Corporation
669,141
8,134
Textron,
Inc.
635,591
32,370
Timken
Company
2,378,871
6,468
Titan
International,
Inc.
g
86,865
6,006
Titan
Machinery,
Inc.
g
159,639
4,798
Trane
Technologies
plc
973,562
38,943
TransUnion
2,795,718
10,162
Trex
Company,
Inc.
g
626,284
233,294
Uber
Technologies,
Inc.
g
10,729,191
131
UniFirst
Corporation/MA
21,354
6,764
United
Parcel
Service,
Inc.
1,054,305
6,973
United
Rentals,
Inc.
3,099,987
1,545
Valmont
Industries,
Inc.
371,124
3,734
Vertiv
Holdings
Company
138,905
12,846
Wabash
National
Corporation
271,308
Shares
Common
Stock
(28.7%)
Value
Industrials
(3.5%)
-
continued
101,207
WillScot
Mobile
Mini
Holdings
Corporation
g
$
4,209,199
Total
219,322,776
Information
Technology
(7.3%)
32,698
8x8,
Inc.
g
82,399
31,275
Adobe,
Inc.
g
15,947,122
110,821
Advanced
Micro
Devices,
Inc.
g
11,394,615
2,552
Alarm.com
Holdings,
Inc.
g
156,029
4,161
Alpha
and
Omega
Semiconductor,
Ltd.
g
124,164
2,025
American
Software,
Inc.
23,207
12,895
Amkor
Technology,
Inc.
291,427
65,623
Amphenol
Corporation
5,511,676
326
ANSYS,
Inc.
g
97,001
288,386
Apple,
Inc.
49,374,567
64,115
Applied
Materials,
Inc.
8,876,722
14,445
Arista
Networks,
Inc.
g
2,656,869
12,774
Autodesk,
Inc.
g
2,643,068
720
Broadcom,
Inc.
598,018
148,747
Calix,
Inc.
g
6,818,562
1,000
CDW
Corporation
201,760
20,533
Ciena
Corporation
g
970,390
356,516
Cisco
Systems,
Inc.
19,166,300
60,792
Cognex
Corporation
2,580,012
297
Cognizant
Technology
Solutions
Corporation
20,119
29,981
Cohu,
Inc.
g
1,032,546
39,872
CommScope
Holding
Company,
Inc.
g
133,970
269
CommVault
Systems,
Inc.
g
18,187
2,112
Corning,
Inc.
64,353
4,360
Crane
NXT
Company
242,285
4,043
Datadog,
Inc.
g
368,277
45,291
Descartes
Systems
Group,
Inc.
g
3,323,454
6,583
DocuSign,
Inc.
g
276,486
19,220
Dolby
Laboratories,
Inc.
1,523,377
124,837
Dropbox,
Inc.
g
3,399,312
52,415
Dynatrace
Holdings,
LLC
g
2,449,353
1,991
Elastic
NV
g
161,749
577
Enphase
Energy,
Inc.
g
69,327
22,353
Entegris,
Inc.
2,099,170
8,696
EPAM
Systems,
Inc.
g
2,223,480
1,299
F5,
Inc.
g
209,321
70
Fair
Isaac
Corporation
g
60,797
17,155
Five9,
Inc.
g
1,103,067
88,959
Flex,
Ltd.
g
2,400,114
6,761
FormFactor,
Inc.
g
236,229
78,546
Fortinet,
Inc.
g
4,609,079
34
Gartner,
Inc.
g
11,683
66,040
Gilat
Satellite
Networks,
Ltd.
g
424,637
3,944
GoDaddy,
Inc.
g
293,749
202,945
Grid
Dynamics
Holdings,
Inc.
g
2,471,870
86,631
Guidewire
Software,
Inc.
g
7,796,790
117,740
Hackett
Group,
Inc.
2,777,487
30,037
Hewlett
Packard
Enterprise
Company
521,743
284
HP,
Inc.
7,299
5,232
HubSpot,
Inc.
g
2,576,760
3,560
Insight
Enterprises,
Inc.
g
517,980
5,930
IPG
Photonics
Corporation
g
602,132
5,283
JFrog,
Ltd.
g
133,977
52,813
Juniper
Networks,
Inc.
1,467,673
5,809
Keysight
Technologies,
Inc.
g
768,589
5,035
KLA
Corporation
2,309,353
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
255
Shares
Common
Stock
(28.7%)
Value
Information
Technology
(7.3%)
-
continued
71,030
Knowles
Corporation
g
$
1,051,954
24,428
Kyndryl
Holdings,
Inc.
g
368,863
4,743
Lam
Research
Corporation
2,972,770
73,885
Lattice
Semiconductor
Corporation
g
6,348,938
11,266
Littelfuse,
Inc.
2,786,307
16,907
LiveRamp
Holding,
Inc.
g
487,598
10,192
Marvell
Technology,
Inc.
551,693
7,322
MaxLinear,
Inc.
g
162,915
17,917
Microchip
Technology,
Inc.
1,398,422
272,151
Microsoft
Corporation
85,931,678
7,760
MKS
Instruments,
Inc.
671,550
8,051
Monolithic
Power
Systems,
Inc.
3,719,562
485
Motorola
Solutions,
Inc.
132,036
9,825
NCR
Corporation
g
264,980
7,178
NetApp,
Inc.
544,667
544
NICE,
Ltd.
ADR
g
92,480
33,650
Nova,
Ltd.
g
3,783,606
105,428
NVIDIA
Corporation
45,860,126
1,394
ON
Semiconductor
Corporation
g
129,572
648
OSI
Systems,
Inc.
g
76,490
87,348
PagerDuty,
Inc.
g
1,964,457
20,334
Palo
Alto
Networks,
Inc.
g
4,767,103
34,749
PDF
Solutions,
Inc.
g
1,125,868
15,669
Plexus
Corporation
g
1,456,904
23,182
PTC,
Inc.
g
3,284,426
15,286
Q2
Holdings,
Inc.
g
493,279
2,794
Qorvo,
Inc.
g
266,743
131,644
QUALCOMM,
Inc.
14,620,383
21,230
Rackspace
Technology,
Inc.
f,g
49,891
6,337
Rapid7,
Inc.
g
290,108
8,620
RingCentral,
Inc.
g
255,411
2,758
Roper
Industries,
Inc.
1,335,644
80,286
Salesforce,
Inc.
g
16,280,395
25,813
Samsung
Electronics
Company,
Ltd.
1,304,954
2,180
Sanmina
Corporation
g
118,330
28,278
ServiceNow,
Inc.
g
15,806,271
19,155
Silicon
Laboratories,
Inc.
g
2,219,873
6,476
Skyworks
Solutions,
Inc.
638,469
14,162
SolarWinds
Corporation
g
133,689
6,550
Sprinklr,
Inc.
g
90,652
165,183
Sprout
Social,
Inc.
g
8,239,328
9,907
SPS
Commerce,
Inc.
g
1,690,233
9,971
Synopsys,
Inc.
g
4,576,390
31,717
TE
Connectivity,
Ltd.
3,918,001
709
Teledyne
Technologies,
Inc.
g
289,683
12,717
Teradata
Corporation
g
572,519
174
Teradyne,
Inc.
17,480
28,635
Texas
Instruments,
Inc.
4,553,251
1,615
Trimble,
Inc.
g
86,984
370,596
TTM
Technologies,
Inc.
g
4,773,276
26,707
Tyler
Technologies,
Inc.
g
10,312,641
41,535
Unisys
Corporation
g
143,296
10,260
Universal
Display
Corporation
1,610,717
16,722
Upland
Software,
Inc.
g
77,256
124,539
Varonis
Systems,
Inc.
g
3,803,421
8,072
Verint
Systems,
Inc.
g
185,575
17,644
VeriSign,
Inc.
g
3,573,439
27,998
Viavi
Solutions,
Inc.
g
255,902
30,003
Vishay
Intertechnology,
Inc.
741,674
32,521
Vontier
Corporation
1,005,549
31,232
Wolfspeed,
Inc.
g
1,189,939
55,953
Workiva,
Inc.
g
5,670,277
5,721
Xerox
Holdings
Corporation
89,762
Shares
Common
Stock
(28.7%)
Value
Information
Technology
(7.3%)
-
continued
24,252
Yext,
Inc.
g
$
153,515
4,325
Zoom
Video
Communications,
Inc.
g
302,491
Total
457,891,338
Materials
(0.7%)
1,469
Albemarle
Corporation
249,789
24,456
Alcoa
Corporation
710,691
1,738
AptarGroup,
Inc.
217,320
25,136
Axalta
Coating
Systems,
Ltd.
g
676,158
2,666
Ball
Corporation
132,713
7,620
Berry
Plastics
Group,
Inc.
471,754
15,195
Carpenter
Technology
Corporation
1,021,256
12,134
Celanese
Corporation
1,523,060
12,515
CF
Industries
Holdings,
Inc.
1,073,036
47,555
Cleveland-Cliffs,
Inc.
g
743,285
12,832
Commercial
Metals
Company
634,029
8,138
Eagle
Materials,
Inc.
1,355,140
8,066
Eastman
Chemical
Company
618,824
471
Hawkins,
Inc.
27,718
23,906
Huntsman
Corporation
583,306
28,962
Ingevity
Corporation
g
1,378,881
8,693
Innospec,
Inc.
888,425
87,961
Ivanhoe
Mines,
Ltd.
g
753,813
2,774
Kaiser
Aluminum
Corporation
208,771
7,508
Linde
plc
2,795,604
13,207
LSB
Industries,
Inc.
g
135,108
716
LyondellBasell
Industries
NV
67,805
5,628
Martin
Marietta
Materials,
Inc.
2,310,181
2,644
Myers
Industries,
Inc.
47,407
11,022
Newmont
Corporation
407,263
51,138
Nucor
Corporation
7,995,426
16,002
O-I
Glass,
Inc.
g
267,713
8,954
Orion
SA
190,541
2,886
PPG
Industries,
Inc.
374,603
442,417
Ranpak
Holdings
Corporation
g
2,406,748
876
Reliance
Steel
&
Aluminum
Company
229,713
33,355
RPM
International,
Inc.
3,162,388
6,171
Ryerson
Holding
Corporation
179,514
8,473
Schnitzer
Steel
Industries,
Inc.
235,973
2,830
Steel
Dynamics,
Inc.
303,433
67,147
Summit
Materials,
Inc.
g
2,090,958
20,973
SunCoke
Energy,
Inc.
212,876
7,817
TimkenSteel
Corporation
g
169,785
2,881
TriMas
Corporation
71,334
4,172
Trinseo
plc
34,085
239,948
Tronox
Holdings
plc
3,224,901
8,046
United
States
Lime
&
Minerals,
Inc.
1,617,246
49,189
United
States
Steel
Corporation
1,597,659
3,809
Vulcan
Materials
Company
769,494
Total
44,165,727
Real
Estate
(1.0%)
112,191
Agree
Realty
Corporation
6,197,431
963
Alexandria
Real
Estate
Equities,
Inc.
96,396
33,775
Apartment
Income
REIT
Corporation
1,036,892
17,413
AvalonBay
Communities,
Inc.
2,990,509
9,233
Camden
Property
Trust
873,257
7,360
CareTrust
REIT,
Inc.
150,880
25,043
CBRE
Group,
Inc.
g
1,849,676
6,446
Centerspace
388,436
13,752
Chatham
Lodging
Trust
131,607
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
256
Shares
Common
Stock
(28.7%)
Value
Real
Estate
(1.0%)
-
continued
46,928
Compass,
Inc.
g
$
136,091
62,663
CubeSmart
2,389,340
149,235
Cushman
and
Wakefield
plc
g
1,137,171
2,547
EastGroup
Properties,
Inc.
424,152
42,291
Elme
Communities
576,849
33,196
EPR
Properties
1,378,962
95,848
Equity
Commonwealth
1,760,728
25,576
Equity
Residential
1,501,567
19,425
Essential
Properties
Realty
Trust,
Inc.
420,163
1,716
Essex
Property
Trust,
Inc.
363,946
9,173
Extra
Space
Storage,
Inc.
1,115,253
26,690
First
Industrial
Realty
Trust,
Inc.
1,270,177
17,905
FirstService
Corporation
2,605,894
44,444
Four
Corners
Property
Trust,
Inc.
986,212
9,764
Getty
Realty
Corporation
270,756
39,002
Healthcare
Realty
Trust,
Inc.
595,561
41,313
Host
Hotels
&
Resorts,
Inc.
663,900
5,802
Howard
Hughes
Holdings,
Inc.
g
430,102
128,405
Independence
Realty
Trust,
Inc.
1,806,658
9,286
Kennedy-Wilson
Holdings,
Inc.
136,876
3,496
LTC
Properties,
Inc.
112,326
105,580
LXP
Industrial
Trust
939,662
17,342
Mid-America
Apartment
Communities,
Inc.
2,231,048
49,225
National
Storage
Affiliates
Trust
1,562,402
37,619
NetSTREIT
Corporation
586,104
12,711
NNN
REIT,
Inc.
449,207
35,131
Pebblebrook
Hotel
Trust
477,430
13,991
Public
Storage
3,686,908
7,086
Realty
Income
Corporation
353,875
22,366
Regency
Centers
Corporation
1,329,435
48,082
Rexford
Industrial
Realty,
Inc.
2,372,847
3,260
RMR
Group,
Inc.
79,935
46,265
Sabra
Health
Care
REIT,
Inc.
644,934
45,134
SBA
Communications
Corporation
9,034,473
84,359
Service
Properties
Trust
648,721
6,704
Terreno
Realty
Corporation
380,787
95,532
UDR,
Inc.
3,407,626
4,339
Welltower,
Inc.
355,451
Total
62,338,613
Utilities
(0.5%)
4,199
AES
Corporation
63,825
2,235
Alliant
Energy
Corporation
108,286
55,990
American
Electric
Power
Company,
Inc.
4,211,568
6,522
Artesian
Resources
Corporation
273,859
3,686
Avista
Corporation
119,316
31,019
Black
Hills
Corporation
1,569,251
2,878
CenterPoint
Energy,
Inc.
77,274
501
Clearway
Energy,
Inc.
9,980
10,434
Constellation
Energy
Corporation
1,138,141
9,050
Duke
Energy
Corporation
798,753
5,234
Edison
International
331,260
14,344
Entergy
Corporation
1,326,820
47,060
Evergy,
Inc.
2,385,942
1,911
NextEra
Energy
Partners,
LP
f
56,756
250,629
NiSource,
Inc.
6,185,524
44,440
NorthWestern
Corporation
2,135,786
86,381
OGE
Energy
Corporation
2,879,079
11,639
Pinnacle
West
Capital
Corporation
857,561
40,896
Portland
General
Electric
Company
1,655,470
Shares
Common
Stock
(28.7%)
Value
Utilities
(0.5%)
-
continued
9,979
Public
Service
Enterprise
Group,
Inc.
$
567,905
11,472
Spire,
Inc.
649,086
80,321
UGI
Corporation
1,847,383
Total
29,248,825
Total
Common
Stock
(cost
$1,428,369,815)
1,792,633,631
Principal
Amount
Long-Term
Fixed
Income
(
10.0%
)
Value
Asset-Backed
Securities
(0.3%)
510
Asset
Backed
Trust
$
950,000
3.967%, 
5/25/2061,
Ser.
2021-NPL1,
Class
A2
h,i
808,473
720
East
CLO
I,
Ltd.
850,000
8.576%, 
(TSFR3M
+
3.250%),
1/20/2036,
Ser.
2022-1A,
Class
B
b,h
854,827
275,000
9.576%, 
(TSFR3M
+
4.250%),
1/20/2036,
Ser.
2022-1A,
Class
C
b,h
277,094
Access
Group,
Inc.
73,310
5.929%, 
(SOFR30A
+
0.614%),
2/25/2036,
Ser.
2013-1,
Class
A
b,h
72,019
Affirm
Asset
Securitization
Trust
325,000
6.610%, 
1/18/2028,
Ser.
2023-A,
Class
1A
h
323,382
AMSR
Trust
500,000
2.352%, 
6/17/2038,
Ser.
2021-SFR1,
Class
C
h
416,322
675,000
2.517%, 
12/17/2038,
Ser.
2021-SFR4,
Class
C
h
589,752
Ares
XL
CLO,
Ltd.
1,000,000
8.370%, 
(TSFR3M
+
3.062%),
1/15/2029,
Ser.
2016-40A,
Class
CRR
b,h
978,871
Business
Jet
Securities,
LLC
266,921
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
h
250,246
CarVal
CLO
II,
Ltd.
600,000
7.588%, 
(TSFR3M
+
2.262%),
4/20/2032,
Ser.
2019-1A,
Class
CR
b,h
591,290
CarVal
CLO
VIII-C,
Ltd.
525,000
7.646%, 
(TSFR3M
+
2.300%),
10/22/2035,
Ser.
2022-2A,
Class
A
b,h
527,889
375,000
8.346%, 
(TSFR3M
+
3.000%),
10/22/2035,
Ser.
2022-2A,
Class
B1
b,h
377,127
CMFT
Net
Lease
Master
Issuer,
LLC
622,508
2.090%, 
7/20/2051,
Ser.
2021-1,
Class
A1
h
513,306
Commonbond
Student
Loan
Trust
82,559
5.934%, 
(TSFR1M
+
0.614%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,h
80,413
Dryden
36
Senior
Loan
Fund
850,000
7.620%, 
(TSFR3M
+
2.312%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,h
836,946
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
257
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Asset-Backed
Securities
(0.3%)
-
continued
Foundation
Finance
Trust
$
393,648
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
h
$
347,105
FRTKL
Trust
1,150,000
1.922%, 
9/17/2038,
Ser.
2021-SFR1,
Class
C
h
998,710
Goodgreen
672,394
3.860%, 
10/15/2054,
Ser.
2019-1A,
Class
A
h
602,436
Home
Partners
of
America
Trust
1,203,313
2.302%, 
12/17/2026,
Ser.
2021-2,
Class
B
h
1,058,195
986,376
2.078%, 
9/17/2041,
Ser.
2021-1,
Class
C
h
803,820
Laurel
Road
Prime
Student
Loan
Trust
16,428
2.810%, 
11/25/2042,
Ser.
2017-C,
Class
A2B
h
16,261
233,621
Zero
Coupon, 
11/25/2043,
Ser.
2018-D,
Class
A
b,h
216,571
Longfellow
Place
CLO,
Ltd.
525,000
7.870%, 
(TSFR3M
+
2.562%),
4/15/2029,
Ser.
2013-1A,
Class
CR3
b,h
523,542
Mercury
Financial
Credit
Card
Master
Trust
1,000,000
2.500%, 
9/21/2026,
Ser.
2022-1A,
Class
A
h
957,246
National
Collegiate
Trust
269,428
5.729%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,h
260,906
Preston
Ridge
Partners
Mortgage
Trust,
LLC
667,633
2.115%, 
1/25/2026,
Ser.
2021-1,
Class
A1
b,h
628,796
Pretium
Mortgage
Credit
Partners,
LLC
455,474
5.240%, 
4/25/2052,
Ser.
2022-NPL2,
Class
A1
h,i
442,573
337,074
2.240%, 
9/27/2060,
Ser.
2021-NPL1,
Class
A1
h,i
325,278
Progress
Residential
Trust
600,000
1.888%, 
5/17/2026,
Ser.
2021-SFR3,
Class
B
h
533,331
Renaissance
Home
Equity
Loan
Trust
1,083,769
5.580%, 
11/25/2036,
Ser.
2006-3,
Class
AF2
i
383,202
Saxon
Asset
Securities
Trust
430,017
2.869%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
356,833
Tricon
Residential
Trust
800,000
2.244%, 
7/17/2038,
Ser.
2021-SFR1,
Class
B
h
713,841
VCAT
Asset
Securitization,
LLC
500,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
h,i
450,491
Vericrest
Opportunity
Loan
Transferee
480,776
1.893%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A1
h,i
446,649
341,290
2.116%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A1
h,i
317,523
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Asset-Backed
Securities
(0.3%)
-
continued
$
450,000
4.949%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A2
h,i
$
340,246
375,000
5.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
h,i
282,544
Wind
River
CLO,
Ltd.
625,000
7.588%, 
(TSFR3M
+
2.262%),
7/20/2030,
Ser.
2013-1A,
Class
BRR
b,h
620,947
Total
19,125,003
Basic
Materials
(0.1%)
Alcoa
Nederland
Holding
BV
171,000
5.500%, 
12/15/2027
h
162,432
Anglo
American
Capital
plc
275,000
3.875%, 
3/16/2029
h
246,427
ATI,
Inc.
120,000
7.250%, 
8/15/2030
119,100
Cascades,
Inc./Cascades
USA,
Inc.
165,000
5.125%, 
1/15/2026
h
157,947
Chemours
Company
170,000
5.750%, 
11/15/2028
h
147,543
Cleveland-Cliffs,
Inc.
190,000
5.875%, 
6/1/2027
f
180,844
90,000
4.625%, 
3/1/2029
f,h
78,396
Consolidated
Energy
Finance
SA
317,000
5.625%, 
10/15/2028
h
261,921
EIDP,
Inc.
224,000
4.500%, 
5/15/2026
218,181
First
Quantum
Minerals,
Ltd.
314,000
6.875%, 
10/15/2027
h
301,245
FMC
Corporation
227,000
5.150%, 
5/18/2026
220,539
Glencore
Funding,
LLC
226,000
3.375%, 
9/23/2051
h
135,650
323,000
4.000%, 
3/27/2027
h
303,185
219,000
6.125%, 
10/6/2028
e,h
218,624
Hecla
Mining
Company
90,000
7.250%, 
2/15/2028
87,074
Hudbay
Minerals,
Inc.
202,000
4.500%, 
4/1/2026
h
188,986
Illuminate
Buyer,
LLC/Illuminate
Holdings
IV,
Inc.
132,000
9.000%, 
7/1/2028
h
124,667
International
Flavors
&
Fragrances,
Inc.
269,000
1.230%, 
10/1/2025
h
241,131
Methanex
Corporation
167,000
4.250%, 
12/1/2024
162,537
Mineral
Resources,
Ltd.
36,000
9.250%, 
10/1/2028
h
36,360
Mosaic
Company
300,000
4.050%, 
11/15/2027
281,600
Novelis
Corporation
85,000
3.250%, 
11/15/2026
h
75,913
100,000
4.750%, 
1/30/2030
h
86,545
85,000
3.875%, 
8/15/2031
h
67,880
Nutrien,
Ltd.
112,000
4.900%, 
3/27/2028
108,172
OCI
NV
115,000
4.625%, 
10/15/2025
h
108,727
Olin
Corporation
245,000
5.125%, 
9/15/2027
229,077
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
258
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Basic
Materials
(0.1%)
-
continued
SCIL
IV,
LLC/SCIL
USA
Holdings,
LLC
$
184,000
5.375%, 
11/1/2026
h
$
168,124
SNF
Group
SACA
166,000
3.375%, 
3/15/2030
h
133,979
SunCoke
Energy,
Inc.
180,000
4.875%, 
6/30/2029
h
152,951
Taseko
Mines,
Ltd.
129,000
7.000%, 
2/15/2026
h
120,503
Unifrax
Escrow
Issuer
Corporation
147,000
5.250%, 
9/30/2028
h
104,685
United
States
Steel
Corporation
190,000
6.875%, 
3/1/2029
f
186,781
Total
5,417,726
Capital
Goods
(0.2%)
Advanced
Drainage
Systems,
Inc.
157,000
6.375%, 
6/15/2030
h
150,791
AECOM
280,000
5.125%, 
3/15/2027
265,189
Amsted
Industries,
Inc.
245,000
5.625%, 
7/1/2027
h
230,916
ARD
Finance
SA
56,000
6.500%, 
6/30/2027
h
42,249
Ardagh
Packaging
Finance
plc/
Ardagh
Holdings
USA,
Inc.
150,000
5.250%, 
8/15/2027
h
125,174
99,000
5.250%, 
8/15/2027
f,h
82,615
Boeing
Company
505,000
5.930%, 
5/1/2060
453,449
234,000
5.040%, 
5/1/2027
228,468
538,000
5.705%, 
5/1/2040
496,360
Bombardier,
Inc.
36,000
7.125%, 
6/15/2026
h
34,879
211,000
7.875%, 
4/15/2027
h
205,883
145,000
6.000%, 
2/15/2028
h
131,543
Brand
Industrial
Services,
Inc.
58,000
10.375%, 
8/1/2030
h
58,089
Builders
FirstSource,
Inc.
140,000
5.000%, 
3/1/2030
h
124,825
Canpack
SA/Canpack
US,
LLC
220,000
3.125%, 
11/1/2025
h
202,946
Carrier
Global
Corporation
300,000
2.700%, 
2/15/2031
243,182
Chart
Industries,
Inc.
179,000
7.500%, 
1/1/2030
h
179,981
Clean
Harbors,
Inc.
237,000
6.375%, 
2/1/2031
h
230,452
Clydesdale
Acquisition
Holdings,
Inc.
24,000
6.625%, 
4/15/2029
h
22,315
48,000
8.750%, 
4/15/2030
h
41,168
CNH
Industrial
NV
154,000
3.850%, 
11/15/2027
143,332
Cornerstone
Building
Brands,
Inc.
123,000
6.125%, 
1/15/2029
h
93,246
Covanta
Holding
Corporation
85,000
4.875%, 
12/1/2029
h
69,734
CP
Atlas
Buyer,
Inc.
165,000
7.000%, 
12/1/2028
h
129,383
Crown
Cork
&
Seal
Company,
Inc.
153,000
7.375%, 
12/15/2026
155,295
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Capital
Goods
(0.2%)
-
continued
Emerald
Debt
Merger
Sub,
LLC
$
180,000
6.625%, 
12/15/2030
h
$
173,281
GFL
Environmental,
Inc.
140,000
4.000%, 
8/1/2028
h
122,327
248,000
3.500%, 
9/1/2028
h
213,506
H&E
Equipment
Services,
Inc.
313,000
3.875%, 
12/15/2028
h
267,269
Herc
Holdings,
Inc.
160,000
5.500%, 
7/15/2027
h
151,305
Howmet
Aerospace,
Inc.
391,000
3.000%, 
1/15/2029
330,966
338,000
5.950%, 
2/1/2037
317,360
Ingersoll
Rand,
Inc.
55,000
5.700%, 
8/14/2033
53,081
John
Deere
Capital
Corporation
183,000
4.950%, 
7/14/2028
180,473
Lockheed
Martin
Corporation
348,000
4.500%, 
5/15/2036
317,154
120,000
6.150%, 
9/1/2036
125,879
Mauser
Packaging
Solutions
Holding
Company
95,000
9.250%, 
4/15/2027
h
83,038
MIWD
Holdco
II,
LLC
96,000
5.500%, 
2/1/2030
h
79,319
Mueller
Water
Products,
Inc.
101,000
4.000%, 
6/15/2029
h
87,961
Nesco
Holdings
II,
Inc.
190,000
5.500%, 
4/15/2029
h
166,725
New
Enterprise
Stone
and
Lime
Company,
Inc.
210,000
5.250%, 
7/15/2028
h
188,427
Nordson
Corporation
218,000
5.600%, 
9/15/2028
215,907
Northrop
Grumman
Corporation
470,000
3.850%, 
4/15/2045
349,941
OI
European
Group
BV
184,000
4.750%, 
2/15/2030
h
160,053
Owens-Brockway
Glass
Container,
Inc.
96,000
6.625%, 
5/13/2027
h
93,589
Pactiv
Evergreen
Group
130,000
4.375%, 
10/15/2028
h
112,796
Parker-Hannifin
Corporation
563,000
4.500%, 
9/15/2029
532,891
PGT
Innovations,
Inc.
175,000
4.375%, 
10/1/2029
h
161,365
Regal
Rexnord
Corporation
281,000
6.050%, 
2/15/2026
h
277,867
Republic
Services,
Inc.
221,000
2.900%, 
7/1/2026
206,675
Roller
Bearing
Company
of
America,
Inc.
136,000
4.375%, 
10/15/2029
h
116,982
RTX
Corporation
179,000
4.125%, 
11/16/2028
166,910
375,000
4.450%, 
11/16/2038
315,492
Sealed
Air
Corporation
149,000
6.125%, 
2/1/2028
h
144,310
Silgan
Holdings,
Inc.
71,000
4.125%, 
2/1/2028
63,520
SRM
Escrow
Issuer,
LLC
287,000
6.000%, 
11/1/2028
h
265,033
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
259
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Capital
Goods
(0.2%)
-
continued
Textron,
Inc.
$
320,000
3.375%, 
3/1/2028
$
289,357
Titan
Acquisition,
Ltd./Titan
Co-
Borrower,
LLC
95,000
7.750%, 
4/15/2026
h
93,100
Trane
Technologies
Financing,
Ltd.
229,000
3.500%, 
3/21/2026
217,354
TransDigm,
Inc.
219,000
6.250%, 
3/15/2026
h
215,185
521,000
5.500%, 
11/15/2027
487,838
Triumph
Group,
Inc.
153,000
9.000%, 
3/15/2028
h
151,287
United
Rentals
North
America,
Inc.
175,000
4.875%, 
1/15/2028
163,468
185,000
4.000%, 
7/15/2030
157,661
Veralto
Corporation
215,000
5.350%, 
9/18/2028
h
212,568
Waste
Management,
Inc.
219,000
4.875%, 
2/15/2034
207,256
Waste
Pro
USA,
Inc.
110,000
5.500%, 
2/15/2026
h
102,715
WESCO
Distribution,
Inc.
230,000
7.250%, 
6/15/2028
h
231,116
Total
12,711,771
Collateralized
Mortgage
Obligations
(0.4%)
Banc
of
America
Alternative
Loan
Trust
11,853
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
9,906
BINOM
Securitization
Trust
495,605
2.370%, 
6/25/2056,
Ser.
2021-INV1,
Class
A2
b,h
415,978
CHNGE
Mortgage
Trust
853,711
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
h,i
848,945
948,485
6.000%, 
10/25/2057,
Ser.
2022-4,
Class
A1
h,i
923,228
Citicorp
Mortgage
Securities,
Inc.
531,330
6.000%, 
7/25/2037,
Ser.
2007-6,
Class
1A4
452,334
Citigroup
Mortgage
Loan
Trust,
Inc.
1,928
4.524%, 
3/25/2037,
Ser.
2007-AR4,
Class
2A1A
b
1,881
COLT
Mortgage
Loan
Trust
1,001,800
1.726%, 
11/25/2066,
Ser.
2021-5,
Class
A1
b,h
820,678
Countrywide
Alternative
Loan
Trust
298,369
3.784%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
b
240,699
588,572
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
212,564
Countrywide
Home
Loans,
Inc.
149,615
5.750%, 
4/25/2037,
Ser.
2007-3,
Class
A27
67,667
Credit
Suisse
Mortgage
Trust
500,000
3.346%, 
1/25/2067,
Ser.
2022-ATH1,
Class
A1B
b,h
421,072
875,000
4.000%, 
2/25/2067,
Ser.
2022-NQM2,
Class
A1B
b,h
739,309
443,343
6.567%, 
8/25/2067,
Ser.
2022-ATH3,
Class
A3
b,h
432,721
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Collateralized
Mortgage
Obligations
(0.4%)
-
continued
$
438,060
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
b,h
$
346,625
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
64,243
6.000%, 
10/25/2023,
Ser.
2006-AR5,
Class
23A
33,143
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
1,042,836
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
983,848
304,077
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
j
25,881
648,967
3.000%, 
3/15/2033,
Ser.
4180,
Class
PI
j
65,808
1,244,803
4.500%, 
10/15/2033,
Ser.
2695,
Class
BH
1,196,370
1,000,000
2.500%, 
12/15/2048,
Ser.
5094,
Class
BC
740,710
Federal
National
Mortgage
Association
-
REMIC
1,311,373
4.500%, 
6/25/2052,
Ser.
2022-43,
Class
MA
1,249,512
784,409
4.000%, 
7/25/2052,
Ser.
2022-37,
Class
PE
737,853
679,307
3.000%, 
12/25/2027,
Ser.
2012-137,
Class
AI
j
25,452
2,130,711
5.250%, 
7/25/2039,
Ser.
2022-72,
Class
CB
2,096,192
1,232,629
4.500%, 
1/25/2046,
Ser.
2022-68,
Class
BA
1,191,471
Flagstar
Mortgage
Trust
557,413
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
b,h
462,713
GCAT
Trust
785,146
1.855%, 
8/25/2066,
Ser.
2021-NQM6,
Class
A1
b,h
659,949
GS
Mortgage-Backed
Securities
Trust
990,424
3.000%, 
6/25/2052,
Ser.
2022-GR1,
Class
A2
b,h
781,507
J.P.
Morgan
Mortgage
Trust
1,085,546
2.500%, 
2/25/2052,
Ser.
2021-INV7,
Class
A2A
b,h
819,121
749,876
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
b,h
583,208
LHOME
Mortgage
Trust
232,004
2.090%, 
2/25/2026,
Ser.
2021-RTL1,
Class
A1
b,h
230,833
305,363
2.090%, 
6/25/2026,
Ser.
2021-RTL2,
Class
A1
h,i
300,394
Mello
Mortgage
Capital
Acceptance
1,062,477
2.500%, 
8/25/2051,
Ser.
2021-INV2,
Class
A3
b,h
801,713
Merrill
Lynch
Alternative
Note
Asset
Trust
146,329
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
55,527
New
Residential
Mortgage
Loan
Trust
2,092,684
2.500%, 
9/25/2051,
Ser.
2021-INV2,
Class
A2
b,h
1,579,077
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
260
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Collateralized
Mortgage
Obligations
(0.4%)
-
continued
New
York
Mortgage
Trust
$
824,117
2.239%, 
5/25/2026,
Ser.
2021-BPL1,
Class
A1
h,i
$
816,424
Onslow
Bay
Financial,
LLC
525,000
3.688%, 
1/25/2062,
Ser.
2022-NQM3,
Class
A1B
b,h
428,134
Palisades
Mortgage
Loan
Trust
1,600,000
2.857%, 
6/25/2026,
Ser.
2021-RTL1,
Class
A1
h,i
1,552,054
Residential
Accredit
Loans,
Inc.
Trust
229,976
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
189,814
Residential
Funding
Mortgage
Security
I
Trust
56,974
6.000%, 
7/25/2037,
Ser.
2007-S7,
Class
A20
42,376
ROC
Securities
Trust
Series
975,000
2.487%, 
8/25/2026,
Ser.
2021-RTL1,
Class
A1
b,h
948,679
Sequoia
Mortgage
Trust
162,205
3.482%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
b
110,199
Toorak
Mortgage
Corporation,
Ltd.
762,933
2.240%, 
6/25/2024,
Ser.
2021-1,
Class
A1
h,i
741,838
TRK
Trust
778,532
1.966%, 
11/25/2056,
Ser.
2021-INV2,
Class
A1
b,h
628,749
Vericrest
Opportunity
Loan
Transferee
501,577
2.116%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A1
h,i
474,640
Verus
Securitization
Trust
436,867
2.286%, 
11/25/2066,
Ser.
2021-8,
Class
A2
b,h
352,572
Total
26,839,368
Commercial
Mortgage-Backed
Securities
(0.5%)
BANK
2022-BNK39
16,445,343
0.533%, 
2/15/2055,
Ser.
2022-BNK39,
Class
XA
b,j
440,872
BANK5
2023-5YR2
800,000
7.379%, 
6/15/2028,
Ser.
2023-5YR2,
Class
AS
b
809,859
BBCMS
Mortgage
Trust
8,088,720
0.839%, 
2/15/2055,
Ser.
2022-C14,
Class
XA
b,j
321,407
850,000
5.451%, 
4/15/2056,
Ser.
2023-C19,
Class
A5
822,558
6,985,151
1.325%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
b,j
526,946
6,858,174
1.949%, 
10/15/2053,
Ser.
2020-C8,
Class
XA
b,j
589,761
Benchmark
Mortgage
Trust
1,170,000
2.669%, 
12/15/2054,
Ser.
2021-B31,
Class
A5
923,031
BFLD
Trust
400,000
7.147%, 
(TSFR1M
+
1.814%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,h
235,505
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Commercial
Mortgage-Backed
Securities
(0.5%)
-
continued
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
$
2,750,000
3.000%, 
6/25/2032,
Ser.
K147,
Class
A2
b,k
$
2,318,021
1,750,000
3.500%, 
7/25/2032,
Ser.
K148,
Class
A2
b,k
1,533,943
3,100,000
3.530%, 
8/25/2032,
Ser.
K149,
Class
A2
k
2,719,840
500,000
3.710%, 
9/25/2032,
Ser.
K-150,
Class
A2
b,k
444,428
2,800,000
3.800%, 
10/25/2032,
Ser.
K-151,
Class
A2
b,k
2,504,302
2,900,000
3.780%, 
11/25/2032,
Ser.
K-152,
Class
A2
b,k
2,589,326
2,750,000
3.820%, 
12/25/2032,
Ser.
K-153,
Class
A2
b,k
2,459,766
775,000
4.350%, 
1/25/2033,
Ser.
K-154,
Class
A2
b,k
722,311
3,000,000
4.200%, 
5/25/2033,
Ser.
K-157,
Class
A2
k
2,759,212
Federal
Home
Loan
Mortgage
Corporation
Multifamily
WI
Certificates
1,650,000
4.500%, 
11/25/2033,
Ser.
K159,
Class
A2
1,552,385
2,200,000
4.500%, 
12/25/2033,
Ser.
K160,
Class
A2
2,060,405
MIRA
Trust
1,000,000
6.755%, 
6/10/2038,
Ser.
2023-MILE,
Class
A
h
979,410
Morgan
Stanley
Capital
I
Trust
7,121,356
1.960%, 
7/15/2053,
Ser.
2020-HR8,
Class
XA
b,j
648,536
MSWF
Commercial
Mortgage
Trust
680,000
5.752%, 
5/15/2033,
Ser.
2023-1,
Class
A5
669,756
SCOTT
Trust
1,150,000
5.910%, 
3/15/2040,
Ser.
2023-SFS,
Class
A
h
1,114,688
Total
29,746,268
Communications
Services
(0.3%)
Activision
Blizzard,
Inc.
449,000
2.500%, 
9/15/2050
267,376
Allen
Media,
LLC/Allen
Media
Co-
Issuer,
Inc.
146,000
10.500%, 
2/15/2028
h
83,508
Altice
Financing
SA
95,000
5.750%, 
8/15/2029
h
77,856
Altice
France
SA/France
110,000
8.125%, 
2/1/2027
h
97,548
94,000
5.125%, 
7/15/2029
h
66,825
182,000
5.500%, 
10/15/2029
h
130,879
AMC
Networks,
Inc.
70,000
5.000%, 
4/1/2024
69,033
230,000
4.250%, 
2/15/2029
141,127
American
Tower
Corporation
130,000
3.375%, 
10/15/2026
121,026
215,000
5.800%, 
11/15/2028
213,382
291,000
2.900%, 
1/15/2030
241,768
136,000
5.650%, 
3/15/2033
130,732
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
261
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Communications
Services
(0.3%)
-
continued
AT&T,
Inc.
$
337,000
3.650%, 
6/1/2051
$
217,296
451,000
3.500%, 
9/15/2053
278,650
222,000
2.300%, 
6/1/2027
196,569
450,000
4.350%, 
3/1/2029
418,780
227,000
5.400%, 
2/15/2034
212,449
459,000
4.900%, 
8/15/2037
397,625
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
220,000
5.500%, 
5/1/2026
h
212,503
290,000
5.125%, 
5/1/2027
h
270,198
116,000
5.000%, 
2/1/2028
h
105,344
18,000
6.375%, 
9/1/2029
h
16,784
103,000
4.250%, 
2/1/2031
h
81,992
445,000
4.750%, 
2/1/2032
h
356,000
155,000
4.250%, 
1/15/2034
h
114,123
Cengage
Learning,
Inc.
7,000
9.500%, 
6/15/2024
h
7,006
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
335,000
4.200%, 
3/15/2028
307,476
650,000
3.500%, 
6/1/2041
411,046
Cimpress
plc
120,000
7.000%, 
6/15/2026
112,309
Clear
Channel
Outdoor
Holdings,
Inc.
36,000
7.500%, 
6/1/2029
f,h
27,527
Clear
Channel
Worldwide
Holdings,
Inc.
284,000
5.125%, 
8/15/2027
h
252,190
Comcast
Corporation
337,000
5.350%, 
5/15/2053
307,277
247,000
2.887%, 
11/1/2051
145,567
281,000
4.250%, 
10/15/2030
258,849
485,000
4.400%, 
8/15/2035
428,379
490,000
4.750%, 
3/1/2044
411,319
Connect
Finco
SARL/Connect
US
Finco,
LLC
92,000
6.750%, 
10/1/2026
h
85,808
CSC
Holdings,
LLC
150,000
5.375%, 
2/1/2028
h
122,117
213,000
6.500%, 
2/1/2029
h
176,457
296,000
4.125%, 
12/1/2030
h
209,483
Deutsche
Telekom
International
Finance
BV
560,000
8.750%, 
6/15/2030
641,448
DIRECTV
Financing,
LLC/DIRECTV
Financing
Co-Obligor,
Inc.
333,000
5.875%, 
8/15/2027
h
294,432
Discovery
Communications,
LLC
500,000
4.900%, 
3/11/2026
488,010
DISH
DBS
Corporation
62,000
5.875%, 
11/15/2024
57,709
78,000
5.250%, 
12/1/2026
h
66,288
62,000
7.375%, 
7/1/2028
39,066
108,000
5.750%, 
12/1/2028
h
83,025
95,000
5.125%, 
6/1/2029
52,666
DISH
Network
Corporation
98,000
11.750%, 
11/15/2027
h
98,732
Frontier
Communications
Holdings,
LLC
214,000
5.875%, 
10/15/2027
h
194,626
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Communications
Services
(0.3%)
-
continued
$
72,000
6.750%, 
5/1/2029
f,h
$
55,395
45,000
8.750%, 
5/15/2030
h
42,726
GCI,
LLC
170,000
4.750%, 
10/15/2028
h
146,625
Gray
Escrow
II,
Inc.
229,000
5.375%, 
11/15/2031
h
149,866
Gray
Television,
Inc.
210,000
4.750%, 
10/15/2030
h
139,119
Hughes
Satellite
Systems
Corporation
120,000
6.625%, 
8/1/2026
102,600
Iliad
Holding
SASU
221,000
6.500%, 
10/15/2026
h
207,632
Lamar
Media
Corporation
97,000
3.625%, 
1/15/2031
78,993
LCPR
Senior
Secured
Financing
DAC
135,000
6.750%, 
10/15/2027
h
123,997
Level
3
Financing,
Inc.
277,000
4.625%, 
9/15/2027
h
199,209
140,000
4.250%, 
7/1/2028
h
87,225
85,000
10.500%, 
5/15/2030
h
85,560
McGraw-Hill
Education,
Inc.
132,000
5.750%, 
8/1/2028
h
113,883
13,000
8.000%, 
8/1/2029
h
11,278
Meta
Platforms,
Inc.
168,000
5.600%, 
5/15/2053
159,005
224,000
4.800%, 
5/15/2030
218,185
449,000
3.850%, 
8/15/2032
398,350
Netflix,
Inc.
130,000
5.875%, 
11/15/2028
130,736
254,000
5.375%, 
11/15/2029
h
247,836
230,000
4.875%, 
6/15/2030
h
217,743
News
Corporation
171,000
3.875%, 
5/15/2029
h
147,060
NTT
Finance
Corporation
393,000
4.372%, 
7/27/2027
h
378,563
Omnicom
Group,
Inc.
224,000
3.600%, 
4/15/2026
212,765
200,000
4.200%, 
6/1/2030
179,137
Outfront
Media
Capital,
LLC/
Outfront
Media
Capital
Corporation
98,000
6.250%, 
6/15/2025
h
96,013
72,000
4.625%, 
3/15/2030
f,h
56,600
Playtika
Holding
Corporation
151,000
4.250%, 
3/15/2029
h
126,085
Radiate
Holdco,
LLC/Radiate
Finance,
Inc.
120,000
6.500%, 
9/15/2028
h
63,000
Scripps
Escrow
II,
Inc.
68,000
3.875%, 
1/15/2029
h
51,139
Sirius
XM
Radio,
Inc.
285,000
5.000%, 
8/1/2027
h
260,319
115,000
4.000%, 
7/15/2028
h
98,160
Sprint
Capital
Corporation
566,000
8.750%, 
3/15/2032
654,775
Take-Two
Interactive
Software,
Inc.
222,000
4.950%, 
3/28/2028
214,554
TEGNA,
Inc.
254,000
4.625%, 
3/15/2028
219,710
Telecom
Italia
Capital
SA
54,000
6.000%, 
9/30/2034
45,024
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
262
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Communications
Services
(0.3%)
-
continued
Telecom
Italia
SPA/Milano
$
75,000
5.303%, 
5/30/2024
h
$
73,739
Telesat
Canada/Telesat,
LLC
85,000
4.875%, 
6/1/2027
f,h
55,081
45,000
6.500%, 
10/15/2027
h
22,950
T-Mobile
USA,
Inc.
561,000
3.600%, 
11/15/2060
347,038
315,000
4.375%, 
4/15/2040
253,111
United
States
Cellular
Corporation
150,000
6.700%, 
12/15/2033
145,875
Uniti
Group,
LP/Uniti
Group
Finance,
Inc./CSL
Capital,
LLC
230,000
4.750%, 
4/15/2028
h
187,814
Univision
Communications,
Inc.
185,000
6.625%, 
6/1/2027
h
172,295
Verizon
Communications,
Inc.
337,000
3.000%, 
11/20/2060
182,469
725,000
2.650%, 
11/20/2040
458,938
492,000
3.400%, 
3/22/2041
348,799
VTR
Finance
NV
150,000
6.375%, 
7/15/2028
h
55,985
VZ
Secured
Financing
BV
243,000
5.000%, 
1/15/2032
h
190,890
Warnermedia
Holdings,
Inc.
394,000
5.141%, 
3/15/2052
292,758
338,000
4.054%, 
3/15/2029
301,145
338,000
5.050%, 
3/15/2042
261,405
YPSO
Finance
BIS
SA
76,000
10.500%, 
5/15/2027
h
47,400
Total
18,914,744
Consumer
Cyclical
(0.3%)
1011778
B.C.,
ULC/New
Red
Finance,
Inc.
250,000
4.375%, 
1/15/2028
h
225,337
Adient
Global
Holdings,
Ltd.
95,000
4.875%, 
8/15/2026
h
89,598
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation
85,000
6.625%, 
7/15/2026
h
80,541
105,000
6.000%, 
6/1/2029
h
78,276
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation/
Atlas
Luxco
4
SARL
245,000
4.625%, 
6/1/2028
h
204,173
Allison
Transmission,
Inc.
97,000
3.750%, 
1/30/2031
h
78,415
Amazon.com,
Inc.
286,000
3.875%, 
8/22/2037
244,140
American
Axle
&
Manufacturing,
Inc.
360,000
6.500%, 
4/1/2027
341,795
Arko
Corporation
109,000
5.125%, 
11/15/2029
h
87,913
Ashton
Woods
USA,
LLC/Ashton
Woods
Finance
Company
140,000
4.625%, 
8/1/2029
h
118,141
60,000
4.625%, 
4/1/2030
h
49,116
Boyd
Gaming
Corporation
155,000
4.750%, 
6/15/2031
h
131,901
Boyne
USA,
Inc.
66,000
4.750%, 
5/15/2029
h
57,727
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Consumer
Cyclical
(0.3%)
-
continued
Brookfield
Residential
Properties,
Inc./Brookfield
Residential
US,
LLC
$
160,000
6.250%, 
9/15/2027
h
$
144,051
Caesars
Entertainment,
Inc.
288,000
6.250%, 
7/1/2025
h
284,058
50,000
8.125%, 
7/1/2027
h
50,238
175,000
4.625%, 
10/15/2029
h
148,236
Carnival
Corporation
80,000
7.625%, 
3/1/2026
h
77,823
332,000
5.750%, 
3/1/2027
h
300,534
70,000
4.000%, 
8/1/2028
h
60,695
Cedar
Fair,
LP
169,000
5.250%, 
7/15/2029
146,878
Churchill
Downs,
Inc.
140,000
4.750%, 
1/15/2028
h
126,286
71,000
6.750%, 
5/1/2031
h
67,095
Cinemark
USA,
Inc.
201,000
5.875%, 
3/15/2026
f,h
192,984
Clarios
Global,
LP/Clarios
US
Finance
Company,
Inc.
110,000
8.500%, 
5/15/2027
f,h
109,684
178,000
6.750%, 
5/15/2028
h
173,773
D.R.
Horton,
Inc.
72,000
2.600%, 
10/15/2025
67,370
Daimler
Trucks
Finance
North
America,
LLC
390,000
2.000%, 
12/14/2026
h
348,420
Expedia
Group,
Inc.
587,000
3.250%, 
2/15/2030
496,487
Ford
Motor
Company
312,000
3.250%, 
2/12/2032
240,447
156,000
6.100%, 
8/19/2032
f
146,938
Ford
Motor
Credit
Company,
LLC
425,000
2.300%, 
2/10/2025
398,636
420,000
4.134%, 
8/4/2025
398,195
275,000
2.700%, 
8/10/2026
245,401
200,000
7.350%, 
3/6/2030
202,536
Forestar
Group,
Inc.
145,000
3.850%, 
5/15/2026
h
131,615
General
Motors
Company
325,000
6.125%, 
10/1/2025
324,719
450,000
6.800%, 
10/1/2027
459,231
General
Motors
Financial
Company,
Inc.
230,000
1.500%, 
6/10/2026
203,228
GLP
Capital,
LP
467,000
5.750%, 
6/1/2028
447,760
Goodyear
Tire
&
Rubber
Company
110,000
5.000%, 
7/15/2029
94,745
Guitar
Center
Escrow
Issuer
II,
Inc.
67,000
8.500%, 
1/15/2026
f,h
58,190
Hanesbrands,
Inc.
144,000
4.875%, 
5/15/2026
f,h
132,014
Hilton
Domestic
Operating
Company,
Inc.
223,000
4.875%, 
1/15/2030
202,947
71,000
3.625%, 
2/15/2032
h
57,240
Hilton
Grand
Vacations
Borrower
Escrow,
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
Inc.
115,000
5.000%, 
6/1/2029
h
99,756
Home
Depot,
Inc.
275,000
5.400%, 
9/15/2040
263,234
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
263
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Consumer
Cyclical
(0.3%)
-
continued
$
336,000
4.250%, 
4/1/2046
$
269,641
315,000
3.900%, 
6/15/2047
240,492
Hyundai
Capital
America
475,000
1.800%, 
1/10/2028
h
397,943
Hyundai
Capital
Services,
Inc.
225,000
2.125%, 
4/24/2025
h
211,688
International
Game
Technology
plc
200,000
5.250%, 
1/15/2029
h
184,302
Jacobs
Entertainment,
Inc.
97,000
6.750%, 
2/15/2029
h
86,088
Jaguar
Land
Rover
Automotive
plc
187,000
5.500%, 
7/15/2029
h
159,884
KB
Home
195,000
4.800%, 
11/15/2029
171,600
Kia
Corporation
180,000
2.375%, 
2/14/2025
h
171,676
Kohl's
Corporation
215,000
4.625%, 
5/1/2031
144,489
360,000
5.550%, 
7/17/2045
202,453
L
Brands,
Inc.
260,000
6.625%, 
10/1/2030
h
243,753
80,000
6.875%, 
11/1/2035
71,447
Lennar
Corporation
388,000
4.750%, 
5/30/2025
379,576
Light
&
Wonder
International,
Inc.
200,000
7.250%, 
11/15/2029
h
196,000
Lowe's
Companies,
Inc.
224,000
5.625%, 
4/15/2053
203,597
548,000
2.625%, 
4/1/2031
443,275
Macy's
Retail
Holdings,
LLC
155,000
5.875%, 
4/1/2029
f,h
135,716
Marriott
International,
Inc./MD
421,000
4.625%, 
6/15/2030
387,808
Mattamy
Group
Corporation
133,000
5.250%, 
12/15/2027
h
121,380
McDonald's
Corporation
325,000
4.450%, 
3/1/2047
264,725
Michaels
Companies,
Inc.
115,000
5.250%, 
5/1/2028
f,h
91,782
NCL
Corporation,
Ltd.
66,000
3.625%, 
12/15/2024
h
63,381
48,000
5.875%, 
3/15/2026
h
44,316
120,000
5.875%, 
2/15/2027
h
114,116
Nissan
Motor
Acceptance
Company,
LLC
480,000
1.125%, 
9/16/2024
h
455,633
Nissan
Motor
Company,
Ltd.
62,000
3.522%, 
9/17/2025
h
58,556
65,000
4.345%, 
9/17/2027
h
59,332
80,000
4.810%, 
9/17/2030
h
69,000
Nordstrom,
Inc.
57,000
4.375%, 
4/1/2030
f
43,850
81,000
4.250%, 
8/1/2031
f
58,743
PENN
Entertainment,
Inc.
160,000
4.125%, 
7/1/2029
f,h
130,750
PetSmart,
Inc./PetSmart
Finance
Corporation
210,000
4.750%, 
2/15/2028
h
183,842
130,000
7.750%, 
2/15/2029
h
121,146
Prime
Security
Services
Borrower,
LLC/Prime
Finance,
Inc.
299,000
5.750%, 
4/15/2026
h
290,080
132,000
6.250%, 
1/15/2028
f,h
122,254
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Consumer
Cyclical
(0.3%)
-
continued
Realogy
Group,
LLC/Realogy
Group
Co-Issuer
Corporation
$
210,000
5.750%, 
1/15/2029
h
$
151,820
Royal
Caribbean
Cruises,
Ltd.
26,000
11.500%, 
6/1/2025
h
27,446
262,000
4.250%, 
7/1/2026
h
240,226
127,000
9.250%, 
1/15/2029
h
134,168
57,000
7.250%, 
1/15/2030
h
56,492
Scientific
Games
Holdings,
LP/
Scientific
Games
US
FinCo,
Inc.
40,000
6.625%, 
3/1/2030
h
34,500
SeaWorld
Parks
and
Entertainment,
Inc.
108,000
5.250%, 
8/15/2029
h
94,867
Six
Flags
Theme
Parks,
Inc.
55,000
7.000%, 
7/1/2025
h
54,861
Staples,
Inc.
137,000
7.500%, 
4/15/2026
h
112,661
86,000
10.750%, 
4/15/2027
f,h
50,486
Starbucks
Corporation
281,000
4.750%, 
2/15/2026
276,865
Station
Casinos,
LLC
122,000
4.625%, 
12/1/2031
h
97,586
Target
Corporation
337,000
2.950%, 
1/15/2052
205,587
Tenneco,
Inc.
120,000
8.000%, 
11/17/2028
h
97,650
Toyota
Motor
Credit
Corporation
249,000
4.700%, 
1/12/2033
235,292
Tripadvisor,
Inc.
37,000
7.000%, 
7/15/2025
h
36,930
Uber
Technologies,
Inc.
120,000
6.250%, 
1/15/2028
h
117,344
VICI
Properties,
LP/VICI
Note
Company,
Inc.
583,000
4.625%, 
6/15/2025
h
562,997
267,000
5.750%, 
2/1/2027
h
258,474
182,000
3.750%, 
2/15/2027
h
165,149
Viking
Cruises,
Ltd.
232,000
5.875%, 
9/15/2027
h
211,746
Volkswagen
Group
of
America
Finance,
LLC
283,000
4.350%, 
6/8/2027
h
269,301
Wabash
National
Corporation
175,000
4.500%, 
10/15/2028
h
147,413
Walmart,
Inc.
336,000
4.500%, 
9/9/2052
288,625
Wyndham
Hotels
&
Resorts,
Inc.
90,000
4.375%, 
8/15/2028
h
80,836
Yum!
Brands,
Inc.
210,000
4.750%, 
1/15/2030
h
188,626
ZF
North
America
Capital,
Inc.
96,000
7.125%, 
4/14/2030
h
94,059
Total
19,574,838
Consumer
Non-Cyclical
(0.4%)
1375209
B.C.,
Ltd.
120,000
9.000%, 
1/30/2028
h
118,617
Abbott
Laboratories
591,000
4.750%, 
11/30/2036
561,477
AbbVie,
Inc.
150,000
2.950%, 
11/21/2026
139,202
538,000
4.300%, 
5/14/2036
471,885
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
264
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Consumer
Non-Cyclical
(0.4%)
-
continued
$
225,000
4.850%, 
6/15/2044
$
195,238
400,000
4.875%, 
11/14/2048
349,555
AdaptHealth,
LLC
218,000
4.625%, 
8/1/2029
h
167,316
Albertsons
Companies,
Inc./
Safeway,
Inc./New
Albertsons,
LP/Albertsons,
LLC
226,000
4.625%, 
1/15/2027
h
213,393
264,000
3.500%, 
3/15/2029
h
225,083
Amgen,
Inc.
315,000
4.200%, 
2/22/2052
235,921
335,000
5.250%, 
3/2/2030
327,291
335,000
5.600%, 
3/2/2043
311,444
Anheuser-Busch
Companies,
LLC/Anheuser-Busch
InBev
Worldwide,
Inc.
516,000
4.700%, 
2/1/2036
472,933
Anheuser-Busch
InBev
Worldwide,
Inc.
633,000
4.375%, 
4/15/2038
548,765
336,000
5.550%, 
1/23/2049
321,818
Archer-Daniels-Midland
Company
393,000
2.700%, 
9/15/2051
235,731
AstraZeneca
plc
580,000
3.000%, 
5/28/2051
379,197
B&G
Foods,
Inc.
130,000
5.250%, 
4/1/2025
127,572
73,000
5.250%, 
9/15/2027
61,135
96,000
8.000%, 
9/15/2028
h
96,131
BAT
Capital
Corporation
112,000
7.750%, 
10/19/2032
118,304
215,000
7.079%, 
8/2/2043
206,233
Bausch
&
Lomb
Escrow
Corporation
36,000
8.375%, 
10/1/2028
h
36,107
Bausch
Health
Companies,
Inc.
66,000
5.500%, 
11/1/2025
f,h
58,450
244,000
4.875%, 
6/1/2028
h
138,759
165,000
11.000%, 
9/30/2028
h
111,944
Baxter
International,
Inc.
325,000
3.132%, 
12/1/2051
f
193,393
Becton,
Dickinson
and
Company
157,000
3.794%, 
5/20/2050
113,117
375,000
3.700%, 
6/6/2027
351,427
BellRing
Brands,
Inc.
101,000
7.000%, 
3/15/2030
h
99,451
Bristol-Myers
Squibb
Company
556,000
3.550%, 
3/15/2042
417,380
Cargill,
Inc.
329,000
3.125%, 
5/25/2051
h
210,939
Catalent
Pharma
Solutions,
Inc.
121,000
3.125%, 
2/15/2029
f,h
99,244
Central
Garden
&
Pet
Company
220,000
4.125%, 
10/15/2030
183,417
Cheplapharm
Arzneimittel
GmbH
20,000
5.500%, 
1/15/2028
h
18,147
Chobani,
LLC/Chobani
Finance
Corporation,
Inc.
174,000
4.625%, 
11/15/2028
h
153,465
CHS/Community
Health
Systems,
Inc.
131,000
5.625%, 
3/15/2027
h
112,361
42,000
8.000%, 
12/15/2027
f,h
39,165
178,000
6.000%, 
1/15/2029
h
143,749
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Consumer
Non-Cyclical
(0.4%)
-
continued
$
74,000
5.250%, 
5/15/2030
h
$
56,253
77,000
4.750%, 
2/15/2031
h
54,494
Constellation
Brands,
Inc.
333,000
3.600%, 
2/15/2028
306,311
250,000
2.875%, 
5/1/2030
209,814
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US,
LLC
214,000
4.750%, 
1/15/2029
h
192,979
120,000
6.625%, 
7/15/2030
h
117,161
CVS
Health
Corporation
505,000
5.625%, 
2/21/2053
453,892
252,000
5.125%, 
2/21/2030
242,380
465,000
4.875%, 
7/20/2035
415,763
Edgewell
Personal
Care
Company
120,000
5.500%, 
6/1/2028
h
110,850
Eli
Lilly
&
Company
168,000
4.950%, 
2/27/2063
152,422
Embecta
Corporation
56,000
6.750%, 
2/15/2030
h
45,780
Encompass
Health
Corporation
240,000
4.500%, 
2/1/2028
f
218,668
Energizer
Holdings,
Inc.
190,000
4.750%, 
6/15/2028
h
164,099
Fortrea
Holdings,
Inc.
93,000
7.500%, 
7/1/2030
h
90,490
General
Mills,
Inc.
90,000
4.950%, 
3/29/2033
84,328
Grifols
SA
168,000
4.750%, 
10/15/2028
h
143,238
HCA,
Inc.
401,000
3.500%, 
9/1/2030
339,256
HLF
Financing
SARL,
LLC/
Herbalife
International,
Inc.
293,000
4.875%, 
6/1/2029
h
208,030
Imperial
Brands
Finance
plc
550,000
3.875%, 
7/26/2029
h
484,219
Jazz
Securities
DAC
97,000
4.375%, 
1/15/2029
h
84,573
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
Luxembourg
SARL
219,000
6.750%, 
3/15/2034
h
213,085
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
USA
Finance,
Inc.
113,000
4.375%, 
2/2/2052
75,097
227,000
5.500%, 
1/15/2030
211,913
373,000
3.000%, 
5/15/2032
281,384
Kenvue,
Inc.
449,000
5.350%, 
3/22/2026
h
447,934
Kimberly-Clark
Corporation
300,000
3.900%, 
5/4/2047
230,265
Kraft
Heinz
Foods
Company
241,000
3.875%, 
5/15/2027
227,040
80,000
5.200%, 
7/15/2045
69,897
360,000
4.375%, 
6/1/2046
280,527
Lamb
Weston
Holdings,
Inc.
102,000
4.125%, 
1/31/2030
h
87,225
Legacy
LifePoint
Health,
LLC
72,000
4.375%, 
2/15/2027
h
61,920
LifePoint
Health,
Inc.
73,000
11.000%, 
10/15/2030
h
73,000
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
265
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Consumer
Non-Cyclical
(0.4%)
-
continued
Mattel,
Inc.
$
227,000
3.375%, 
4/1/2026
h
$
209,907
282,000
5.450%, 
11/1/2041
232,601
Medtronic,
Inc.
338,000
4.375%, 
3/15/2035
306,158
ModivCare
Escrow
Issuer,
Inc.
60,000
5.000%, 
10/1/2029
h
43,050
ModivCare,
Inc.
48,000
5.875%, 
11/15/2025
h
45,627
Mozart
Debt
Merger
Sub,
Inc.
151,000
3.875%, 
4/1/2029
h
127,659
119,000
5.250%, 
10/1/2029
f,h
102,851
Newell
Brands,
Inc.
360,000
4.700%, 
4/1/2026
339,261
Organon
&
Company/Organon
Foreign
Debt
Co-Issuer
BV
167,000
4.125%, 
4/30/2028
h
145,108
99,000
5.125%, 
4/30/2031
h
79,334
Owens
&
Minor,
Inc.
163,000
6.625%, 
4/1/2030
f,h
144,676
PepsiCo,
Inc.
215,000
4.200%, 
7/18/2052
177,632
Perrigo
Finance
Unlimited
Company
175,000
4.375%, 
3/15/2026
163,629
Pfizer
Investment
Enterprises
Pte,
Ltd.
504,000
5.300%, 
5/19/2053
468,293
168,000
4.750%, 
5/19/2033
158,807
217,000
5.110%, 
5/19/2043
199,281
Philip
Morris
International,
Inc.
337,000
4.875%, 
2/13/2026
331,467
211,000
5.125%, 
11/17/2027
206,609
218,000
5.500%, 
9/7/2030
211,981
336,000
5.375%, 
2/15/2033
318,473
Post
Holdings,
Inc.
140,000
4.500%, 
9/15/2031
h
116,521
Primo
Water
Holdings,
Inc.
144,000
4.375%, 
4/30/2029
h
123,120
RegionalCare
Hospital
Partners
Holdings,
Inc./LifePoint
Health,
Inc.
72,000
9.750%, 
12/1/2026
h
69,704
Reynolds
American,
Inc.
512,000
5.700%, 
8/15/2035
458,084
Roche
Holdings,
Inc.
336,000
4.000%, 
11/28/2044
h
272,362
Scotts
Miracle-Gro
Company
67,000
4.500%, 
10/15/2029
54,774
SEG
Holding,
LLC
250,000
5.625%, 
10/15/2028
h
250,625
Simmons
Foods,
Inc.
139,000
4.625%, 
3/1/2029
h
114,025
Spectrum
Brands,
Inc.
100,000
5.000%, 
10/1/2029
h
90,610
120,000
5.500%, 
7/15/2030
h
108,804
115,000
3.875%, 
3/15/2031
h
93,302
Star
Parent,
Inc.
120,000
9.000%, 
10/1/2030
h
121,260
Sysco
Corporation
338,000
6.600%, 
4/1/2040
345,395
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Consumer
Non-Cyclical
(0.4%)
-
continued
Takeda
Pharmaceutical
Company,
Ltd.
$
335,000
3.175%, 
7/9/2050
$
211,987
Teleflex,
Inc.
155,000
4.250%, 
6/1/2028
h
138,655
Tenet
Healthcare
Corporation
440,000
5.125%, 
11/1/2027
409,479
110,000
6.125%, 
10/1/2028
103,262
144,000
6.750%, 
5/15/2031
h
138,884
Teva
Pharmaceutical
Finance
Netherlands
III
BV
131,000
3.150%, 
10/1/2026
116,756
TreeHouse
Foods,
Inc.
190,000
4.000%, 
9/1/2028
f
154,137
Wyeth,
LLC
225,000
6.500%, 
2/1/2034
241,984
Zoetis,
Inc.
468,000
4.700%, 
2/1/2043
403,391
Total
22,948,568
Energy
(0.3%)
Antero
Midstream
Partners,
LP/
Antero
Midstream
Finance
Corporation
46,000
5.375%, 
6/15/2029
h
42,117
Antero
Resources
Corporation
64,000
5.375%, 
3/1/2030
h
58,923
Archrock
Partners,
LP/Archrock
Partners
Finance
Corporation
190,000
6.250%, 
4/1/2028
h
176,895
Baytex
Energy
Corporation
119,000
8.500%, 
4/30/2030
h
120,407
BP
Capital
Markets
America,
Inc.
627,000
2.939%, 
6/4/2051
382,821
Buckeye
Partners,
LP
155,000
3.950%, 
12/1/2026
139,188
Callon
Petroleum
Company
111,000
7.500%, 
6/15/2030
f,h
107,623
Canadian
Natural
Resources,
Ltd.
265,000
2.950%, 
7/15/2030
219,789
Cheniere
Energy
Partners,
LP
897,000
4.500%, 
10/1/2029
812,209
Chesapeake
Energy
Corporation
91,000
6.750%, 
4/15/2029
h
89,053
Chord
Energy
Corporation
90,000
6.375%, 
6/1/2026
h
88,247
Civitas
Resources,
Inc.
54,000
8.375%, 
7/1/2028
h
54,945
82,000
8.750%, 
7/1/2031
h
83,760
CNX
Resources
Corporation
69,000
6.000%, 
1/15/2029
h
64,476
Columbia
Pipelines
Holding
Company,
LLC
219,000
6.042%, 
8/15/2028
h
217,890
Columbia
Pipelines
Operating
Company,
LLC
55,000
5.927%, 
8/15/2030
h
54,292
Comstock
Resources,
Inc.
135,000
5.875%, 
1/15/2030
h
116,860
Continental
Resources,
Inc.
394,000
2.268%, 
11/15/2026
h
349,064
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
266
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Energy
(0.3%)
-
continued
CQP
Holdco,
LP/BIP-V
Chinnok
Holdco,
LLC
$
133,000
5.500%, 
6/15/2031
h
$
117,884
Crescent
Energy
Finance,
LLC
132,000
9.250%, 
2/15/2028
h
134,765
CrownRock,
LP/CrownRock
Finance,
Inc.
108,000
5.625%, 
10/15/2025
h
106,267
Diamond
Foreign
Asset
Company/
Diamond
Finance,
LLC
48,000
8.500%, 
10/1/2030
h
48,007
DT
Midstream,
Inc.
98,000
4.125%, 
6/15/2029
h
84,774
70,000
4.375%, 
6/15/2031
h
58,864
Enbridge,
Inc.
317,000
2.500%, 
2/14/2025
302,052
Enerflex,
Ltd.
97,000
9.000%, 
10/15/2027
h
95,787
Energy
Transfer,
LP
261,000
4.000%, 
10/1/2027
242,351
265,000
4.900%, 
3/15/2035
233,062
250,000
5.150%, 
2/1/2043
198,672
400,000
6.000%, 
6/15/2048
355,014
EnLink
Midstream
Partners,
LP
222,000
4.850%, 
7/15/2026
209,004
Enterprise
Products
Operating,
LLC
300,000
3.300%, 
2/15/2053
195,212
EQM
Midstream
Partners,
LP
329,000
4.750%, 
1/15/2031
h
283,183
EQT
Corporation
187,000
6.125%, 
2/1/2025
186,355
337,000
3.900%, 
10/1/2027
311,716
Exxon
Mobil
Corporation
525,000
3.452%, 
4/15/2051
367,328
Ferrellgas,
LP/Ferrellgas
Finance
Corporation
120,000
5.375%, 
4/1/2026
h
112,475
Genesis
Energy
LP/Genesis
Energy
Finance
Corporation
193,000
8.875%, 
4/15/2030
188,443
Halliburton
Company
300,000
4.850%, 
11/15/2035
269,789
225,000
5.000%, 
11/15/2045
190,729
Harvest
Midstream,
LP
256,000
7.500%, 
9/1/2028
h
247,458
Hess
Midstream
Operations,
LP
118,000
5.625%, 
2/15/2026
h
114,018
Hilcorp
Energy
I,
LP/Hilcorp
Finance
Company
230,000
5.750%, 
2/1/2029
h
207,689
112,000
6.250%, 
4/15/2032
h
99,585
Howard
Midstream
Energy
Partners,
LLC
178,000
6.750%, 
1/15/2027
h
169,100
ITT
Holdings,
LLC
150,000
6.500%, 
8/1/2029
h
127,144
Laredo
Petroleum,
Inc.
206,000
7.750%, 
7/31/2029
h
191,647
Magellan
Midstream
Partners,
LP
177,000
5.000%, 
3/1/2026
173,722
MEG
Energy
Corporation
156,000
5.875%, 
2/1/2029
h
145,685
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Energy
(0.3%)
-
continued
MPLX,
LP
$
287,000
4.875%, 
6/1/2025
$
281,508
449,000
4.950%, 
9/1/2032
408,909
82,000
5.000%, 
3/1/2033
74,721
Murphy
Oil
Corporation
110,000
5.875%, 
12/1/2027
106,744
Nabors
Industries,
Ltd.
205,000
7.250%, 
1/15/2026
h
198,081
National
Fuel
Gas
Company
404,000
5.500%, 
1/15/2026
397,320
New
Fortress
Energy,
Inc.
80,000
6.750%, 
9/15/2025
h
76,368
Noble
Finance
II,
LLC
119,000
8.000%, 
4/15/2030
h
120,556
Northern
Oil
and
Gas,
Inc.
120,000
8.750%, 
6/15/2031
h
120,900
Northriver
Midstream
Finance,
LP
58,000
5.625%, 
2/15/2026
h
55,271
NuStar
Logistics,
LP
106,000
5.750%, 
10/1/2025
103,085
Occidental
Petroleum
Corporation
541,000
7.875%, 
9/15/2031
585,417
Ovintiv,
Inc.
112,000
5.650%, 
5/15/2025
111,359
390,000
5.375%, 
1/1/2026
384,527
PBF
Holding
Company,
LLC/PBF
Finance
Corporation
96,000
6.000%, 
2/15/2028
90,544
Permian
Resources
Operating,
LLC
108,000
7.000%, 
1/15/2032
h
106,511
Phillips
66
Company
251,000
4.950%, 
12/1/2027
245,973
Precision
Drilling
Corporation
135,000
6.875%, 
1/15/2029
h
127,872
Range
Resources
Corporation
97,000
4.750%, 
2/15/2030
h
86,088
Rockcliff
Energy
II,
LLC
127,000
5.500%, 
10/15/2029
h
114,296
Rockies
Express
Pipeline,
LLC
36,000
4.950%, 
7/15/2029
h
32,065
SM
Energy
Company
40,000
6.625%, 
1/15/2027
39,200
105,000
6.500%, 
7/15/2028
100,800
Southwestern
Energy
Company
132,000
5.375%, 
3/15/2030
120,259
83,000
4.750%, 
2/1/2032
71,238
Suburban
Propane
Partners,
LP/
Suburban
Energy
Finance
Corporation
54,000
5.875%, 
3/1/2027
51,570
Suncor
Energy,
Inc.
403,000
7.150%, 
2/1/2032
423,922
Sunoco,
LP/Sunoco
Finance
Corporation
285,000
5.875%, 
3/15/2028
273,405
Tallgrass
Energy
Partners
LP/
Tallgrass
Energy
Finance
Corporation
217,000
5.500%, 
1/15/2028
h
197,470
Targa
Resources
Corporation
394,000
4.200%, 
2/1/2033
335,013
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
267
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Energy
(0.3%)
-
continued
Teine
Energy,
Ltd.
$
150,000
6.875%, 
4/15/2029
h
$
137,625
Transocean,
Inc.
140,000
11.500%, 
1/30/2027
h
146,825
165,300
8.750%, 
2/15/2030
h
169,019
USA
Compression
Partners,
LP/
USA
Compression
Finance
Corporation
161,000
6.875%, 
4/1/2026
157,706
Valaris,
Ltd.
120,000
8.375%, 
4/30/2030
h
120,090
Venture
Global
Calcasieu
Pass,
LLC
155,000
3.875%, 
8/15/2029
h
130,429
139,000
6.250%, 
1/15/2030
h
132,588
95,000
4.125%, 
8/15/2031
h
77,959
Venture
Global
LNG,
Inc.
244,000
8.375%, 
6/1/2031
h
239,867
Weatherford
International,
Ltd.
172,000
8.625%, 
4/30/2030
h
173,317
Western
Midstream
Operating,
LP
219,000
6.350%, 
1/15/2029
219,452
112,000
6.150%, 
4/1/2033
108,014
Williams
Companies,
Inc.
225,000
5.300%, 
8/15/2052
191,229
500,000
7.500%, 
1/15/2031
531,725
Total
16,923,177
Financials
(0.9%)
Acrisure,
LLC/Acrisure
Finance,
Inc.
42,000
6.000%, 
8/1/2029
h
35,294
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
243,000
3.500%, 
1/15/2025
234,411
247,000
6.100%, 
1/15/2027
245,791
375,000
3.875%, 
1/23/2028
340,086
250,000
3.400%, 
10/29/2033
193,380
Air
Lease
Corporation
576,000
3.000%, 
2/1/2030
473,756
Aircastle,
Ltd.
300,000
5.250%, 
8/11/2025
h
292,213
Alliant
Holdings
Intermediate,
LLC/
Alliant
Holdings
Co-Issuer,
Inc.
81,000
6.750%, 
10/15/2027
h
75,331
Ally
Financial,
Inc.
285,000
5.750%, 
11/20/2025
276,837
460,000
8.000%, 
11/1/2031
464,432
31,000
6.700%, 
2/14/2033
26,911
American
Homes
4
Rent,
LP
480,000
2.375%, 
7/15/2031
365,966
American
International
Group,
Inc.
453,000
5.125%, 
3/27/2033
421,498
AmWINS
Group,
Inc.
140,000
4.875%, 
6/30/2029
h
122,672
ANZ
Bank
New
Zealand,
Ltd.
225,000
5.548%, 
8/11/2032
b,h
218,467
Aon
Corporation/Aon
Global
Holdings
plc
109,000
5.350%, 
2/28/2033
104,493
Ares
Capital
Corporation
173,000
3.250%, 
7/15/2025
162,052
425,000
3.875%, 
1/15/2026
397,679
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Financials
(0.9%)
-
continued
$
250,000
2.150%, 
7/15/2026
$
219,340
Associated
Banc-Corp
275,000
4.250%, 
1/15/2025
264,460
Australia
&
New
Zealand
Banking
Group,
Ltd.
450,000
2.950%, 
7/22/2030
b,h
417,732
Avolon
Holdings
Funding,
Ltd.
197,000
5.250%, 
5/15/2024
h
195,105
125,000
4.250%, 
4/15/2026
h
117,487
Banco
Santander
Mexico
SA
250,000
5.375%, 
4/17/2025
h
245,714
Banco
Santander
SA
400,000
4.175%, 
3/24/2028
b
369,351
Bank
of
America
Corporation
403,000
5.080%, 
1/20/2027
b
393,913
275,000
1.734%, 
7/22/2027
b
243,694
350,000
3.824%, 
1/20/2028
b
325,024
196,000
5.202%, 
4/25/2029
b
188,808
230,000
2.087%, 
6/14/2029
b
192,541
500,000
2.496%, 
2/13/2031
b
400,719
650,000
1.922%, 
10/24/2031
b
490,382
338,000
2.972%, 
2/4/2033
b
266,532
676,000
4.571%, 
4/27/2033
b
600,175
324,000
5.872%, 
9/15/2034
b
315,311
450,000
3.846%, 
3/8/2037
b
366,009
Bank
of
Nova
Scotia
105,000
4.850%, 
2/1/2030
98,878
Barclays
plc
333,000
6.496%, 
9/13/2027
b
332,117
475,000
4.972%, 
5/16/2029
b
443,736
335,000
5.746%, 
8/9/2033
b
309,160
Berkshire
Hathaway
Finance
Corporation
449,000
2.850%, 
10/15/2050
279,354
Blackstone
Private
Credit
Fund
341,000
2.700%, 
1/15/2025
322,977
Blue
Owl
Capital
Corporation
115,000
4.250%, 
1/15/2026
107,587
Blue
Owl
Credit
Income
Corporation
282,000
4.700%, 
2/8/2027
256,612
Blue
Owl
Technology
Finance
Corporation
115,000
4.750%, 
12/15/2025
h
106,370
BNP
Paribas
SA
564,000
3.132%, 
1/20/2033
b,h
443,127
BPCE
SA
440,000
3.500%, 
10/23/2027
h
397,470
Brookfield
Property
REIT,
Inc./BPR
Cumulus,
LLC/BPR
Nimbus,
LLC/GGSI
Sellco,
LLC
42,000
4.500%, 
4/1/2027
h
35,001
Burford
Capital
Global
Finance,
LLC
145,000
9.250%, 
7/1/2031
h
147,099
Camden
Property
Trust
450,000
3.150%, 
7/1/2029
398,670
Canadian
Imperial
Bank
of
Commerce
336,000
5.001%, 
4/28/2028
322,583
Capital
One
Financial
Corporation
500,000
4.200%, 
10/29/2025
476,773
300,000
2.636%, 
3/3/2026
b
283,130
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
268
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Financials
(0.9%)
-
continued
Castlelake
Aviation
Finance
DAC
$
63,000
5.000%, 
4/15/2027
h
$
57,542
Centene
Corporation
543,000
2.625%, 
8/1/2031
415,885
Charles
Schwab
Corporation
525,000
2.450%, 
3/3/2027
467,640
220,000
6.136%, 
8/24/2034
b
214,006
Chubb
INA
Holdings,
Inc.
220,000
4.350%, 
11/3/2045
180,494
Citigroup,
Inc.
380,000
0.981%, 
5/1/2025
b
367,769
535,000
4.400%, 
6/10/2025
519,129
348,000
3.200%, 
10/21/2026
321,283
520,000
3.668%, 
7/24/2028
b
477,003
236,000
4.125%, 
7/25/2028
214,715
175,000
3.520%, 
10/27/2028
b
158,315
478,000
4.910%, 
5/24/2033
b
434,935
284,000
6.174%, 
5/25/2034
b
271,397
Cooperatieve
Rabobank
UA
447,000
5.564%, 
2/28/2029
b,h
435,662
Corebridge
Financial,
Inc.
225,000
4.400%, 
4/5/2052
164,605
169,000
4.350%, 
4/5/2042
127,788
Credit
Acceptance
Corporation
250,000
5.125%, 
12/31/2024
h
243,494
Credit
Agricole
SA
300,000
6.875%, 
9/23/2024
b,h,l
292,634
Credit
Suisse
Group
AG
350,000
7.250%, 
9/12/2025
b,h,l,m
33,250
Danske
Bank
AS
200,000
0.976%, 
9/10/2025
b,h
189,573
Deutsche
Bank
AG/New
York,
NY
500,000
3.729%, 
1/14/2032
b
372,197
Discover
Bank
475,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
b
434,640
Drawbridge
Special
Opportunities
Fund,
LP
250,000
3.875%, 
2/15/2026
h
222,429
Elevance
Health,
Inc.
375,000
3.125%, 
5/15/2050
235,875
300,000
4.625%, 
5/15/2042
251,623
Enact
Holdings,
Inc.
91,000
6.500%, 
8/15/2025
h
89,627
EPR
Properties
190,000
4.950%, 
4/15/2028
168,354
Fifth
Third
Bancorp
177,000
6.339%, 
7/27/2029
b
174,852
First
Horizon
Bank
115,000
5.750%, 
5/1/2030
f
102,934
First
Horizon
National
Corporation
460,000
4.000%, 
5/26/2025
434,321
First-Citizens
Bank
&
Trust
Company
360,000
6.125%, 
3/9/2028
357,570
Five
Corners
Funding
Trust
IV
224,000
5.997%, 
2/15/2053
h
212,179
Fortress
Transportation
and
Infrastructure
Investors,
LLC
112,000
6.500%, 
10/1/2025
h
110,079
60,000
9.750%, 
8/1/2027
h
62,060
43,000
5.500%, 
5/1/2028
h
38,983
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Financials
(0.9%)
-
continued
Freedom
Mortgage
Corporation
$
48,000
12.000%, 
10/1/2028
h
$
48,809
FS
KKR
Capital
Corporation
299,000
4.250%, 
2/14/2025
h
286,291
450,000
3.400%, 
1/15/2026
412,374
GGAM
Finance,
Ltd.
119,000
7.750%, 
5/15/2026
h
117,810
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership,
LP
227,000
3.750%, 
12/15/2027
h
175,754
Goldman
Sachs
Group,
Inc.
318,000
1.948%, 
10/21/2027
b
280,779
120,000
1.992%, 
1/27/2032
b
89,955
1,015,000
3.102%, 
2/24/2033
b
811,702
440,000
4.750%, 
10/21/2045
370,271
Healthpeak
OP,
LLC
87,000
3.400%, 
2/1/2025
83,975
HSBC
Holdings
plc
240,000
1.162%, 
11/22/2024
b
237,742
750,000
3.803%, 
3/11/2025
b
740,752
400,000
2.999%, 
3/10/2026
b
381,184
425,000
3.900%, 
5/25/2026
402,118
300,000
5.402%, 
8/11/2033
b
276,454
HUB
International,
Ltd.
205,000
5.625%, 
12/1/2029
h
178,505
Icahn
Enterprises,
LP/Icahn
Enterprises
Finance
Corporation
122,000
6.375%, 
12/15/2025
116,054
135,000
5.250%, 
5/15/2027
118,662
Intercontinental
Exchange,
Inc.
200,000
4.950%, 
6/15/2052
173,157
Invitation
Homes
Operating
Partnership,
LP
282,000
2.000%, 
8/15/2031
208,691
J.P.
Morgan
Chase
&
Company
160,000
0.824%, 
6/1/2025
b
154,024
375,000
1.040%, 
2/4/2027
b
333,733
384,000
1.578%, 
4/22/2027
b
342,694
450,000
2.947%, 
2/24/2028
b
408,219
675,000
4.203%, 
7/23/2029
b
625,561
400,000
2.522%, 
4/22/2031
b
324,232
400,000
1.953%, 
2/4/2032
b
303,349
450,000
4.586%, 
4/26/2033
b
405,650
337,000
4.912%, 
7/25/2033
b
310,057
495,000
3.882%, 
7/24/2038
b
395,235
Jefferies
Finance,
LLC/JFIN
Co-
Issuer
Corporation
49,000
5.000%, 
8/15/2028
h
41,258
KeyBank
NA/Cleveland,
OH
188,000
5.000%, 
1/26/2033
158,252
KeyCorp
162,000
3.878%, 
5/23/2025
b
156,166
Kimco
Realty
Corporation
319,000
3.300%, 
2/1/2025
306,887
Lloyds
Banking
Group
plc
335,000
5.871%, 
3/6/2029
b
327,561
LPL
Holdings,
Inc.
180,000
4.000%, 
3/15/2029
h
156,935
Macquarie
Group,
Ltd.
332,000
1.201%, 
10/14/2025
b,h
314,809
Manufacturers
&
Traders
Trust
Company
337,000
4.700%, 
1/27/2028
311,237
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
269
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Financials
(0.9%)
-
continued
Marsh
&
McLennan
Companies,
Inc.
$
83,000
5.450%, 
3/15/2053
$
77,477
215,000
5.400%, 
9/15/2033
209,326
Massachusetts
Mutual
Life
Insurance
Company
475,000
3.200%, 
12/1/2061
*
267,178
Mitsubishi
UFJ
Financial
Group,
Inc.
385,000
0.962%, 
10/11/2025
b
364,046
335,000
5.422%, 
2/22/2029
b
327,876
350,000
2.048%, 
7/17/2030
272,677
Molina
Healthcare,
Inc.
123,000
4.375%, 
6/15/2028
h
110,214
Morgan
Stanley
250,000
2.188%, 
4/28/2026
b
234,848
540,000
4.350%, 
9/8/2026
514,879
463,000
5.050%, 
1/28/2027
b
453,847
720,000
3.591%, 
7/22/2028
b
656,913
223,000
5.164%, 
4/20/2029
b
214,538
620,000
3.622%, 
4/1/2031
b
534,114
223,000
5.250%, 
4/21/2034
b
207,051
394,000
5.297%, 
4/20/2037
b
351,060
360,000
2.802%, 
1/25/2052
b
209,582
MPT
Operating
Partnership,
LP/
MPT
Finance
Corporation
156,000
4.625%, 
8/1/2029
110,489
Nasdaq,
Inc.
335,000
3.250%, 
4/28/2050
209,240
Nationstar
Mortgage
Holdings,
Inc.
121,000
6.000%, 
1/15/2027
h
114,336
NatWest
Group
plc
250,000
4.445%, 
5/8/2030
b
225,647
Necessity
Retail
REIT,
Inc./
American
Finance
Operating
Partner,
LP
142,000
4.500%, 
9/30/2028
h
107,860
New
York
Life
Global
Funding
331,000
4.550%, 
1/28/2033
h
303,446
NFP
Corporation
72,000
6.875%, 
8/15/2028
h
61,681
NNN
REIT,
Inc.
320,000
5.600%, 
10/15/2033
301,515
Office
Properties
Income
Trust
52,000
2.650%, 
6/15/2026
35,374
Omega
Healthcare
Investors,
Inc.
416,000
3.625%, 
10/1/2029
346,784
375,000
3.375%, 
2/1/2031
293,172
OneMain
Finance
Corporation
220,000
6.875%, 
3/15/2025
218,256
234,000
3.875%, 
9/15/2028
187,818
Park
Intermediate
Holdings,
LLC
192,000
4.875%, 
5/15/2029
h
162,422
Pine
Street
Trust
I
337,000
4.572%, 
2/15/2029
h
303,243
PNC
Financial
Services
Group,
Inc.
347,000
5.812%, 
6/12/2026
b
344,231
450,000
4.626%, 
6/6/2033
b
388,200
PRA
Group,
Inc.
117,000
7.375%, 
9/1/2025
h
113,929
97,000
8.375%, 
2/1/2028
h
88,270
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Financials
(0.9%)
-
continued
Principal
Life
Global
Funding
II
$
375,000
1.250%, 
8/16/2026
h
$
328,195
Prologis,
LP
224,000
2.875%, 
11/15/2029
192,121
Prudential
Financial,
Inc.
428,000
5.125%, 
3/1/2052
b
368,570
Radian
Group,
Inc.
145,000
4.875%, 
3/15/2027
135,484
Realty
Income
Corporation
150,000
4.125%, 
10/15/2026
143,684
Regency
Centers,
LP
470,000
4.125%, 
3/15/2028
434,927
RLJ
Lodging
Trust,
LP
61,000
3.750%, 
7/1/2026
h
55,168
128,000
4.000%, 
9/15/2029
h
104,824
Rocket
Mortgage,
LLC/Rocket
Mortgage
Co-Issuer,
Inc.
190,000
3.625%, 
3/1/2029
h
157,080
Royal
Bank
of
Canada
347,000
5.200%, 
7/20/2026
343,214
280,000
5.000%, 
5/2/2033
260,141
Santander
Holdings
USA,
Inc.
111,000
6.499%, 
3/9/2029
b
108,254
Santander
UK
Group
Holdings
plc
460,000
1.673%, 
6/14/2027
b
402,361
Service
Properties
Trust
69,000
4.650%, 
3/15/2024
68,059
39,000
4.350%, 
10/1/2024
37,413
113,000
7.500%, 
9/15/2025
111,015
150,000
5.500%, 
12/15/2027
128,195
Simon
Property
Group,
LP
343,000
3.800%, 
7/15/2050
232,953
SLM
Corporation
60,000
4.200%, 
10/29/2025
56,143
Societe
Generale
SA
354,000
4.750%, 
11/24/2025
h
338,602
Spirit
Realty,
LP
400,000
2.100%, 
3/15/2028
336,688
Standard
Chartered
plc
409,000
1.822%, 
11/23/2025
b,h
386,479
Sumitomo
Mitsui
Financial
Group,
Inc.
336,000
3.010%, 
10/19/2026
309,353
329,000
5.710%, 
1/13/2030
321,900
275,000
1.710%, 
1/12/2031
205,022
Synchrony
Financial
45,000
4.250%, 
8/15/2024
43,947
30,000
7.250%, 
2/2/2033
26,478
Synovus
Bank
250,000
5.625%, 
2/15/2028
226,518
Toronto-Dominion
Bank
337,000
5.156%, 
1/10/2028
328,909
293,000
5.523%, 
7/17/2028
289,202
Truist
Financial
Corporation
227,000
6.047%, 
6/8/2027
b
224,531
160,000
5.125%, 
12/15/2027
b,l
122,912
266,000
5.122%, 
1/26/2034
b
237,790
U.S.
Bancorp
224,000
5.727%, 
10/21/2026
b
222,137
348,000
5.775%, 
6/12/2029
b
338,736
88,000
5.836%, 
6/12/2034
b
82,997
UBS
Group
AG
550,000
2.193%, 
6/5/2026
b,h
511,533
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
270
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Financials
(0.9%)
-
continued
$
328,000
6.246%, 
9/22/2029
b,h
$
324,559
278,000
3.091%, 
5/14/2032
b,h
219,578
UDR,
Inc.
400,000
2.100%, 
8/1/2032
288,460
United
Wholesale
Mortgage,
LLC
38,000
5.500%, 
11/15/2025
h
36,145
95,000
5.500%, 
4/15/2029
h
80,275
UnitedHealth
Group,
Inc.
224,000
5.875%, 
2/15/2053
224,797
337,000
4.750%, 
5/15/2052
287,342
253,000
4.625%, 
7/15/2035
233,591
USI,
Inc./NY
49,000
6.875%, 
5/1/2025
h
48,623
Wells
Fargo
&
Company
199,000
3.000%, 
4/22/2026
185,367
350,000
3.000%, 
10/23/2026
321,438
338,000
3.526%, 
3/24/2028
b
310,410
550,000
2.393%, 
6/2/2028
b
482,333
234,000
5.574%, 
7/25/2029
b
228,288
185,000
5.389%, 
4/24/2034
b
172,958
310,000
4.900%, 
11/17/2045
248,651
Welltower
OP,
LLC
282,000
2.050%, 
1/15/2029
233,092
Willis
North
America,
Inc.
450,000
4.650%, 
6/15/2027
430,719
XHR,
LP
61,000
6.375%, 
8/15/2025
f,h
59,889
66,000
4.875%, 
6/1/2029
h
56,100
Total
56,181,639
Foreign
Government
(<0.1%)
NBN
Company,
Ltd.
350,000
2.625%, 
5/5/2031
h
282,084
Total
282,084
Mortgage-Backed
Securities
(2.4%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
4,794,742
2.500%, 
5/1/2051
3,826,451
1,895,687
3.500%, 
5/1/2052
1,632,437
3,189,000
4.000%, 
5/1/2052
2,862,072
4,808,739
3.500%, 
6/1/2052
4,143,979
1,930,743
5.000%, 
7/1/2053
1,827,645
993,360
5.500%, 
7/1/2053
963,814
2,538,990
3.500%, 
8/1/2052
2,197,175
2,900,000
5.500%, 
9/1/2053
2,813,730
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
1,741,562
2.500%, 
7/1/2030
1,587,451
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
2,023,467
3.000%, 
12/1/2036
1,805,402
2,031,950
3.000%, 
8/1/2038
1,804,507
3,035,090
3.500%, 
5/1/2040
2,696,298
2,854,588
2.500%, 
4/1/2042
2,348,011
971,638
2.000%, 
5/1/2042
786,624
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
7,979,486
3.000%, 
1/1/2052
6,642,909
624,978
2.000%, 
2/1/2051
477,940
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Mortgage-Backed
Securities
(2.4%)
-
continued
$
961,200
2.000%, 
2/1/2051
$
736,198
3,083,082
2.500%, 
2/1/2051
2,470,540
3,537,694
2.500%, 
2/1/2051
2,829,135
10,495,555
2.000%, 
3/1/2051
8,021,418
8,248,282
3.000%, 
3/1/2052
6,840,376
6,866,846
2.000%, 
4/1/2051
5,247,387
4,849,888
3.000%, 
4/1/2051
4,026,478
5,015,913
3.000%, 
5/1/2050
4,196,880
1,162,651
2.000%, 
5/1/2051
886,703
3,969,009
3.000%, 
5/1/2051
3,336,737
3,204,093
3.000%, 
6/1/2050
2,706,491
1,394,558
5.000%, 
6/1/2053
1,322,250
5,403,211
2.500%, 
7/1/2051
4,313,211
1,296,649
3.500%, 
7/1/2051
1,133,809
1,181,119
2.500%, 
8/1/2050
953,499
2,072,730
3.500%, 
8/1/2050
1,814,335
1,858,653
3.500%, 
9/1/2052
1,607,061
3,446,256
4.500%, 
9/1/2053
3,167,894
5,361,096
4.000%, 
10/1/2052
4,788,582
1,159,749
2.000%, 
11/1/2051
885,552
4,694,635
2.000%, 
12/1/2050
3,595,827
10,481,618
2.500%, 
12/1/2051
8,375,467
6,540,125
4.500%, 
12/1/2052
6,031,484
150,000
5.500%, 
10/1/2041
e
144,955
6,000,000
6.000%, 
10/1/2041
e
5,921,250
7,100,000
4.000%, 
10/1/2048
e
6,320,664
5,875,000
4.500%, 
10/1/2048
e
5,393,984
8,025,000
5.000%, 
10/1/2048
e
7,571,086
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
6,198,596
2.500%, 
3/1/2062
4,757,152
1,370,496
3.500%, 
7/1/2061
1,165,622
2,769,504
4.000%, 
12/1/2061
2,466,539
Total
151,445,011
Technology
(0.2%)
Advanced
Micro
Devices,
Inc.
225,000
4.393%, 
6/1/2052
183,292
Analog
Devices,
Inc.
525,000
2.950%, 
10/1/2051
327,708
Apple,
Inc.
395,000
2.650%, 
2/8/2051
239,582
735,000
3.750%, 
9/12/2047
568,124
AthenaHealth
Group,
Inc.
169,000
6.500%, 
2/15/2030
f,h
141,370
Broadcom,
Inc.
121,000
3.469%, 
4/15/2034
h
95,035
452,000
3.137%, 
11/15/2035
h
329,545
500,000
3.187%, 
11/15/2036
h
358,994
250,000
4.926%, 
5/15/2037
h
215,482
Cloud
Software
Group,
Inc.
135,000
6.500%, 
3/31/2029
h
119,385
48,000
9.000%, 
9/30/2029
h
41,712
CommScope
Technologies,
LLC
65,000
6.000%, 
6/15/2025
h
61,877
CommScope,
Inc.
120,000
7.125%, 
7/1/2028
f,h
71,797
Dell
International,
LLC/EMC
Corporation
340,000
6.020%, 
6/15/2026
341,326
Fiserv,
Inc.
386,000
2.250%, 
6/1/2027
342,555
220,000
2.650%, 
6/1/2030
180,721
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
271
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Technology
(0.2%)
-
continued
$
195,000
5.600%, 
3/2/2033
$
188,991
Gartner,
Inc.
140,000
3.625%, 
6/15/2029
h
119,766
235,000
3.750%, 
10/1/2030
h
197,213
Global
Payments,
Inc.
337,000
5.300%, 
8/15/2029
321,379
II-VI,
Inc.
58,000
5.000%, 
12/15/2029
f,h
50,288
Intel
Corporation
225,000
4.875%, 
2/10/2028
220,717
Iron
Mountain,
Inc.
296,000
4.875%, 
9/15/2029
h
259,428
190,000
5.250%, 
7/15/2030
h
165,993
182,000
4.500%, 
2/15/2031
h
149,688
KLA
Corporation
338,000
3.300%, 
3/1/2050
224,616
Marvell
Technology,
Inc.
54,000
5.950%, 
9/15/2033
53,002
Mastercard,
Inc.
265,000
3.950%, 
2/26/2048
209,816
Microsoft
Corporation
145,000
3.041%, 
3/17/2062
91,802
335,000
3.700%, 
8/8/2046
263,586
NCR
Corporation
182,000
5.125%, 
4/15/2029
h
160,353
181,000
6.125%, 
9/1/2029
h
185,620
NXP
BV/NXP
Funding,
LLC
150,000
5.550%, 
12/1/2028
146,818
NXP
BV/NXP
Funding,
LLC/NXP
USA,
Inc.
106,000
4.300%, 
6/18/2029
97,107
250,000
3.250%, 
5/11/2041
168,198
Open
Text
Corporation
102,000
3.875%, 
12/1/2029
h
83,846
220,000
4.125%, 
2/15/2030
h
184,052
Oracle
Corporation
224,000
6.900%, 
11/9/2052
230,749
561,000
6.150%, 
11/9/2029
569,501
450,000
3.850%, 
7/15/2036
355,797
624,000
4.000%, 
7/15/2046
440,320
PTC,
Inc.
161,000
3.625%, 
2/15/2025
h
154,726
80,000
4.000%, 
2/15/2028
h
71,700
Rackspace
Technology
Global,
Inc.
180,000
5.375%, 
12/1/2028
h
60,362
RingCentral,
Inc.
121,000
8.500%, 
8/15/2030
h
116,886
Roper
Technologies,
Inc.
273,000
1.750%, 
2/15/2031
207,118
S&P
Global,
Inc.
54,000
5.250%, 
9/15/2033
h
52,635
Seagate
HDD
Cayman
71,000
8.500%, 
7/15/2031
h
72,831
181,560
9.625%, 
12/1/2032
h
195,639
Sensata
Technologies
BV
200,000
4.000%, 
4/15/2029
h
172,220
Sensata
Technologies,
Inc.
139,000
3.750%, 
2/15/2031
h
112,496
Shift4
Payments,
LLC/Shift4
Payments
Finance
Sub,
Inc.
60,000
4.625%, 
11/1/2026
h
56,572
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Technology
(0.2%)
-
continued
SS&C
Technologies,
Inc.
$
411,000
5.500%, 
9/30/2027
h
$
387,836
Texas
Instruments,
Inc.
224,000
5.050%, 
5/18/2063
198,537
Viavi
Solutions,
Inc.
128,000
3.750%, 
10/1/2029
h
104,051
Visa,
Inc.
466,000
2.700%, 
4/15/2040
328,155
VMware,
Inc.
206,000
4.650%, 
5/15/2027
198,661
300,000
2.200%, 
8/15/2031
226,389
Total
11,473,965
Transportation
(0.1%)
Allegiant
Travel
Company
109,000
7.250%, 
8/15/2027
h
102,596
American
Airlines
Group,
Inc.
42,000
3.750%, 
3/1/2025
h
39,788
American
Airlines,
Inc.
260,000
11.750%, 
7/15/2025
h
279,498
87,000
7.250%, 
2/15/2028
h
83,181
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
363,916
5.500%, 
4/20/2026
h
355,424
Avis
Budget
Car
Rental,
LLC/Avis
Budget
Finance,
Inc.
76,000
5.375%, 
3/1/2029
h
67,547
Burlington
Northern
Santa
Fe,
LLC
309,000
2.875%, 
6/15/2052
190,070
214,000
5.750%, 
5/1/2040
212,443
240,000
4.450%, 
3/15/2043
200,547
Canadian
Pacific
Railway
Company
225,000
4.700%, 
5/1/2048
186,240
CSX
Corporation
360,000
3.800%, 
4/15/2050
259,841
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.
456,000
4.750%, 
10/20/2028
h
433,356
ERAC
USA
Finance,
LLC
224,000
5.400%, 
5/1/2053
h
206,989
Hawaiian
Brand
Intellectual
Property,
Ltd.
167,000
5.750%, 
1/20/2026
h
150,276
Hertz
Corporation
137,000
4.625%, 
12/1/2026
h
121,416
165,000
5.000%, 
12/1/2029
h
129,182
Mileage
Plus
Holdings,
LLC
423,000
6.500%, 
6/20/2027
h
419,109
Norfolk
Southern
Corporation
784,000
4.450%, 
3/1/2033
715,926
Penske
Truck
Leasing
Company,
LP/PTL
Finance
Corporation
339,000
5.750%, 
5/24/2026
h
334,011
Rand
Parent,
LLC
125,000
8.500%, 
2/15/2030
f,h
115,638
Southwest
Airlines
Company
350,000
2.625%, 
2/10/2030
288,361
Union
Pacific
Corporation
449,000
2.973%, 
9/16/2062
255,005
United
Airlines,
Inc.
134,000
4.375%, 
4/15/2026
h
123,922
112,000
4.625%, 
4/15/2029
h
96,267
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
272
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Transportation
(0.1%)
-
continued
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.
$
36,000
7.875%, 
5/1/2027
f,h
$
31,005
158,000
6.375%, 
2/1/2030
h
122,032
XPO
Escrow
Sub,
LLC
146,000
7.500%, 
11/15/2027
h
147,612
Total
5,667,282
U.S.
Government
&
Agencies
(3.4%)
U.S.
Treasury
Bonds
1,500,000
2.875%, 
5/15/2052
1,063,535
1,419,000
3.625%, 
5/15/2053
1,174,888
880,000
1.625%, 
11/15/2050
460,934
5,830,000
5.250%, 
11/15/2028
5,986,454
7,700,000
1.625%, 
8/15/2029
6,534,172
2,050,000
4.375%, 
5/15/2040
1,944,777
7,430,000
1.375%, 
11/15/2040
4,397,341
11,465,000
3.000%, 
5/15/2042
8,773,860
2,500,000
3.250%, 
5/15/2042
1,992,188
25,124,000
2.500%, 
5/15/2046
16,828,173
16,725,000
2.875%, 
5/15/2049
11,930,936
U.S.
Treasury
Notes
9,200,000
3.875%, 
3/31/2025
9,017,078
43,700,000
2.875%, 
5/31/2025
42,090,269
12,650,000
2.625%, 
1/31/2026
12,007,123
2,500,000
0.500%, 
2/28/2026
2,250,781
25,060,000
2.500%, 
2/28/2026
23,695,405
20,005,000
2.250%, 
11/15/2027
18,193,610
10,550,000
3.875%, 
12/31/2027
10,224,846
300,000
0.750%, 
1/31/2028
254,367
3,200,000
3.625%, 
3/31/2028
3,067,750
18,050,000
2.875%, 
5/15/2028
16,727,273
900,000
1.500%, 
2/15/2030
746,016
500,000
0.875%, 
11/15/2030
388,984
160,000
1.375%, 
11/15/2031
125,413
6,800,000
2.875%, 
5/15/2032
5,968,859
8,800,000
4.125%, 
11/15/2032
8,487,187
1,400,000
3.500%, 
2/15/2033
1,284,500
Total
215,616,719
Utilities
(0.2%)
AES
Corporation
450,000
3.950%, 
7/15/2030
h
387,864
Ameren
Illinois
Company
253,000
4.500%, 
3/15/2049
208,509
American
Electric
Power
Company,
Inc.
195,000
5.625%, 
3/1/2033
188,693
Appalachian
Power
Company
238,000
3.300%, 
6/1/2027
218,284
Berkshire
Hathaway
Energy
Company
375,000
4.500%, 
2/1/2045
299,342
Calpine
Corporation
135,000
4.500%, 
2/15/2028
h
121,666
CenterPoint
Energy
Resources
Corporation
350,000
1.750%, 
10/1/2030
270,681
CenterPoint
Energy,
Inc.
126,000
4.250%, 
11/1/2028
115,850
Commonwealth
Edison
Company
355,000
3.700%, 
3/1/2045
258,543
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Utilities
(0.2%)
-
continued
Consolidated
Edison
Company
of
New
York,
Inc.
$
168,000
4.500%, 
12/1/2045
$
133,738
450,000
4.125%, 
5/15/2049
333,777
Constellation
Energy
Generation,
LLC
108,000
6.125%, 
1/15/2034
107,828
Consumers
Energy
Company
367,000
4.350%, 
4/15/2049
295,764
DTE
Electric
Company
265,000
3.700%, 
3/15/2045
191,445
360,000
3.700%, 
6/1/2046
256,747
Duke
Energy
Carolinas,
LLC
340,000
3.700%, 
12/1/2047
242,483
Duke
Energy
Indiana,
LLC
450,000
3.750%, 
5/15/2046
317,600
Edison
International
318,000
5.750%, 
6/15/2027
315,057
Eversource
Energy
281,000
4.750%, 
5/15/2026
274,686
Exelon
Corporation
275,000
4.700%, 
4/15/2050
219,784
336,000
4.450%, 
4/15/2046
262,046
FirstEnergy
Corporation
281,000
5.100%, 
7/15/2047
238,473
Georgia
Power
Company
190,000
4.950%, 
5/17/2033
178,094
ITC
Holdings
Corporation
224,000
5.300%, 
7/1/2043
193,144
Jersey
Central
Power
&
Light
Company
200,000
2.750%, 
3/1/2032
h
156,629
MidAmerican
Energy
Company
110,000
5.850%, 
9/15/2054
108,446
National
Rural
Utilities
Cooperative
Finance
Corporation
138,000
3.700%, 
3/15/2029
125,976
NextEra
Energy
Capital
Holdings,
Inc.
215,000
5.749%, 
9/1/2025
214,396
NextEra
Energy
Operating
Partners,
LP
283,000
3.875%, 
10/15/2026
h
256,233
NiSource
Finance
Corporation
415,000
5.650%, 
2/1/2045
375,442
NRG
Energy,
Inc.
50,000
3.375%, 
2/15/2029
h
40,470
337,000
4.450%, 
6/15/2029
h
292,261
80,000
5.250%, 
6/15/2029
h
70,621
Pacific
Gas
and
Electric
Company
250,000
3.300%, 
12/1/2027
220,885
199,000
4.550%, 
7/1/2030
175,908
PacifiCorp
227,000
5.500%, 
5/15/2054
192,522
PG&E
Corporation
160,000
5.000%, 
7/1/2028
f
144,925
PPL
Electric
Utilities
Corporation
204,000
3.950%, 
6/1/2047
154,391
Public
Service
Company
of
Colorado
337,000
4.500%, 
6/1/2052
262,930
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
273
Principal
Amount
Long-Term
Fixed
Income
(10.0%)
Value
Utilities
(0.2%)
-
continued
San
Diego
Gas
&
Electric
Company
$
500,000
4.150%, 
5/15/2048
$
380,031
Southern
California
Edison
Company
346,000
4.000%, 
4/1/2047
250,179
Southern
Company
450,000
5.113%, 
8/1/2027
440,985
Southern
Company
Gas
Capital
Corporation
140,000
4.400%, 
5/30/2047
105,891
Southwestern
Electric
Power
Company
180,000
3.900%, 
4/1/2045
124,993
Talen
Energy
Supply,
LLC
116,000
8.625%, 
6/1/2030
h
118,912
TerraForm
Power
Operating,
LLC
235,000
5.000%, 
1/31/2028
h
213,263
Virginia
Electric
and
Power
Company
284,000
4.600%, 
12/1/2048
229,367
Vistra
Operations
Company,
LLC
315,000
5.125%, 
5/13/2025
h
306,943
278,000
5.000%, 
7/31/2027
h
255,590
Xcel
Energy,
Inc.
253,000
4.600%, 
6/1/2032
229,585
Total
11,077,872
Total
Long-Term
Fixed
Income
(cost
$702,517,051)
623,946,035
Shares
Collateral
Held
for
Securities
Loaned
(
0.1%
)
Value
7,064,946
Thrivent
Cash
Management
Trust
7,064,946
Total
Collateral
Held
for
Securities
Loaned
(cost
$7,064,946)
7,064,946
Shares
or
Principal
Amount
Short-Term
Investments
(
11.1%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
500,000
5.265%,
10/4/2023
n,o
499,854
100,000
5.220%,
10/11/2023
n,o
99,869
4,400,000
5.250%,
10/17/2023
n,o
4,390,612
4,600,000
5.201%,
10/20/2023
n,o
4,588,224
4,200,000
5.270%,
10/25/2023
n,o
4,186,267
1,000,000
5.275%,
11/10/2023
n,o
994,457
5,100,000
5.284%,
11/15/2023
n,o
5,068,116
400,000
5.298%,
11/17/2023
n,o
397,386
2,300,000
5.300%,
12/6/2023
n,o
2,278,731
2,600,000
5.315%,
12/13/2023
n,o
2,573,381
24,800,000
5.315%,
12/15/2023
n,o
24,539,085
Thrivent
Core
Short-Term
Reserve
Fund
64,496,575
5.650%
644,965,750
Shares
or
Principal
Amount
Short-Term
Investments
(11.1%)
Value
U.S.
Treasury
Bills
500,000
5.277%,
11/16/2023
n,p
$
496,691
Total
Short-Term
Investments
(cost
$694,980,662)
695,078,423
Total
Investments
(cost
$5,658,738,739)
99.6%
$6,222,828,356
Other
Assets
and
Liabilities,
Net
0.4%
27,995,953
Total
Net
Assets
100.0%
$6,250,824,309
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
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
All
or
a
portion
of
the
security
is
on
loan.
g
Non-income
producing
security.
h
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$99,766,205
or
1.6%
of
total
net
assets.
i
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
29,
2023.
j
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
k
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
l
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
m
Defaulted
security.  Interest
is
not
being
accrued.
n
The
interest
rate
shown
reflects
the
yield.
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
September
29,
2023,
$178,809
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
274
*
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
Moderately
Aggressive
Allocation
Portfolio
as
of
September
29,
2023
was
$267,178
or
0.00%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
29,
2023.
Security
Acquisition
Date
Cost
Massachusetts
Mutual
Life
Insurance
Company,
12/1/2061
11/18/2021
$
471,281
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Moderately
Aggressive
Allocation
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
3,173,218
Common
Stock
3,714,431
Total
lending
$6,887,649
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$7,064,946
Net
amounts
due
to
counterparty
$177,297
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
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
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
PRIME
-
Federal
Reserve
Prime
Loan
Rate
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
SOFRRATE
-
Secured
Overnight
Financing
Rate
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
TSFR6M
-
CME
Term
SOFR
6
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
275
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
1,149,178
998,258
150,920
Capital
Goods
4,167,591
3,682,982
484,609
Communications
Services
5,972,115
5,972,115
Consumer
Cyclical
6,723,894
6,723,894
Consumer
Non-Cyclical
6,613,205
6,334,095
279,110
Energy
963,333
963,333
Financials
3,111,822
3,111,822
Technology
8,405,532
8,405,532
Transportation
2,282,631
2,282,631
Utilities
326,794
326,794
Registered
Investment
Companies
U.S.
Affiliated
2,490,815,289
2,490,815,289
U.S.
Unaffiliated
38,370,817
38,370,817
Common
Stock
Communications
Services
136,438,765
136,390,040
48,725
Consumer
Discretionary
215,269,125
215,269,125
Consumer
Staples
80,808,081
80,808,081
Energy
63,565,872
63,565,872
Financials
245,645,384
245,645,384
Health
Care
237,939,125
237,939,125
Industrials
219,322,776
215,049,566
4,273,210
Information
Technology
457,891,338
456,586,384
1,304,954
Materials
44,165,727
43,411,914
753,813
Real
Estate
62,338,613
62,338,613
Utilities
29,248,825
29,248,825
Long-Term
Fixed
Income
Asset-Backed
Securities
19,125,003
19,125,003
Basic
Materials
5,417,726
5,417,726
Capital
Goods
12,711,771
12,711,771
Collateralized
Mortgage
Obligations
26,839,368
26,839,368
Commercial
Mortgage-Backed
Securities
29,746,268
29,746,268
Communications
Services
18,914,744
18,914,744
Consumer
Cyclical
19,574,838
19,574,838
Consumer
Non-Cyclical
22,948,568
22,948,568
Energy
16,923,177
16,923,177
Financials
56,181,639
56,181,639
Foreign
Government
282,084
282,084
Mortgage-Backed
Securities
151,445,011
151,445,011
Technology
11,473,965
11,473,965
Transportation
5,667,282
5,667,282
U.S.
Government
&
Agencies
215,616,719
215,616,719
Utilities
11,077,872
11,077,872
Short-Term
Investments
50,112,673
50,112,673
Subtotal
Investments
in
Securities
$5,035,594,540
$4,315,439,035
$719,240,866
$914,639
Other
Investments  *
Total
Affiliated
Short-Term
Investments
644,965,750
U.S.
Affiliated
Registered
Investment
Cos.
535,203,120
Collateral
Held
for
Securities
Loaned
7,064,946
Subtotal
Other
Investments
$1,187,233,816
Total
Investments
at
Value
$6,222,828,356
*
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
the
table
above
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
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
276
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Moderately
Aggressive
Allocation
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
26,698,016
26,698,016
Total
Asset
Derivatives
$26,698,016
$26,698,016
$–
$–
Liability
Derivatives
Futures
Contracts
47,427,682
47,427,682
Total
Liability
Derivatives
$47,427,682
$47,427,682
$–
$–
The
following
table
presents
Moderately
Aggressive
Allocation
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$49,117,618
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
295
December
2023
$
32,556,834
(
$
678,397)
CBOT
2-Yr.
U.S.
Treasury
Note
529
December
2023
107,710,748
(
476,661)
CBOT
5-Yr.
U.S.
Treasury
Note
516
December
2023
54,958,500
(
593,059)
CBOT
U.S.
Long
Bond
226
December
2023
27,207,778
(
1,493,216)
CME
E-mini
S&P
500
Index
4,746
December
2023
1,066,911,492
(
40,470,342)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
238
December
2023
30,429,366
(
2,181,741)
ICE
mini
MSCI
EAFE
Index
153
December
2023
16,064,550
(
447,075)
ICE
US
mini
MSCI
Emerging
Markets
Index
318
December
2023
15,576,812
(
384,362)
Ultra
10-Yr.
U.S.
Treasury
Note
198
December
2023
22,792,204
(
702,829)
Total
Futures
Long
Contracts
$
1,374,208,284
(
$
47,427,682)
CME
E-mini
Russell
2000
Index
(2,113)
December
2023
(
$
198,279,568)
$
8,257,478
CME
E-mini
S&P
Mid-Cap
400
Index
(1,973)
December
2023
(
513,924,452)
16,649,532
CME
Euro
Foreign
Exchange
Currency
(453)
December
2023
(
60,915,852)
822,571
Eurex
Euro
STOXX
50
Index
(1,344)
December
2023
(
60,477,575)
968,435
Total
Futures
Short
Contracts
(
$
833,597,447)
$26,698,016
Total
Futures
Contracts
$
540,610,837
($20,729,666)
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
277
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$54,641
$2,518
$1,338
$54,560
7,363
0.9%
Core
Emerging
Markets
Equity
105,560
108,160
13,000
1.7
Core
International
Equity
35,837
22,000
60,480
6,414
1.0
Core
Low
Volatility
Equity
238,778
133,000
110,162
9,836
1.8
Core
Mid
Cap
Value
99,989
103,139
10,622
1.7
Core
Small
Cap
Value
100,236
98,701
10,967
1.6
Global
Stock
460,750
6,336
505,270
40,949
8.1
High
Yield
33,656
1,550
35,434
8,892
0.6
Income
108,358
3,398
732
108,764
13,134
1.7
International
Allocation
498,134
11,886
87,000
443,847
51,895
7.1
International
Index
40,419
912
42,961
3,580
0.7
Large
Cap
Value
644,212
44,937
659,275
33,084
10.5
Limited
Maturity
Bond
66,028
1,568
1,038
67,040
7,133
1.1
Mid
Cap
Stock
451,103
25,425
472,236
26,196
7.5
Small
Cap
Stock
154,297
21,665
155,989
9,778
2.5
Total
U.S.
Affiliated
Registered
Investment
Companies
2,992,009
3,026,018
48.5
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
611,575
917,386
883,995
644,966
64,497
10.3
Total
Affiliated
Short-Term
Investments
611,575
644,966
10.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
7,379
389,529
389,843
7,065
7,065
0.1
Total
Collateral
Held
for
Securities
Loaned
7,379
7,065
0.1
Total
Value
$3,610,963
$3,678,049
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
($421)
($840)
$
$2,519
Core
Emerging
Markets
Equity
2,600
Core
International
Equity
2,643
Core
Low
Volatility
Equity
8,947
(4,563)
Core
Mid
Cap
Value
Fund
3,150
Core
Small
Cap
Value
Fund
(1,535)
Global
Stock
38,184
6,334
High
Yield
228
1,549
Income
(133)
(2,127)
3,397
International
Allocation
(33,656)
54,483
11,886
International
Index
1,630
912
Large
Cap
Value
(29,874)
33,442
11,495
Limited
Maturity
Bond
(40)
522
1,568
Mid
Cap
Stock
(4,292)
23,417
2,009
Small
Cap
Stock
(19,973)
20,683
982
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
24,677
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$67,328
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
74
Total
Affiliated
Income
from
Securities
Loaned,
Net
$74
Total
Value
($25,303)
$40,236
$
77,542
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
278
Principal
Amount
Bank
Loans
(
2.4%
)
a
Value
Basic
Materials
(0.1%)
Grinding
Media,
Inc.,
Term
Loan
$
370,717
9.530%, 
(TSFR1M
+
4.000%),
10/12/2028
b,c
$
367,010
INEOS
US
Petrochem,
LLC,
Term
Loan
972,612
8.181%, 
(TSFR1M
+
2.750%),
1/29/2026
b
967,263
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
338,747
8.931%, 
(TSFR1M
+
3.500%),
6/30/2027
b
337,588
Nouryon
USA,
LLC,
Term
Loan
668,776
8.427%, 
(TSFR3M
+
3.000%),
10/1/2025
b
667,659
Spectrum
Group
Buyer,
Inc.,
Term
Loan
333,840
11.953%, 
(TSFR1M
+
6.500%),
5/19/2028
b
320,737
Total
2,660,257
Capital
Goods
(0.3%)
Ali
Group
North
America
Corporation,
Term
Loan
490,998
7.431%, 
(TSFR1M
+
2.000%),
7/22/2029
b
490,315
Brookfield
WEC
Holdings,
Inc.,
Term
Loan
804,725
8.181%, 
(TSFR1M
+
2.750%),
8/1/2025
b
803,792
BW
Holding,
Inc.,
Term
Loan
349,546
9.573%, 
(TSFR1M
+
4.000%),
12/14/2028
b
312,969
Chart
Industries,
Inc.,
Term
Loan
303,039
9.174%, 
(TSFR1M
+
3.750%),
3/17/2030
b,c
303,039
Charter
Next
Generation,
Inc.,
Term
Loan
879,728
9.181%, 
(TSFR1M
+
3.750%),
12/1/2027
b
870,931
Clydesdale
Acquisition
Holdings,
Inc.,
Term
Loan
932,556
9.591%, 
(TSFR1M
+
4.175%),
4/13/2029
b
918,839
Cornerstone
Building
Brands,
Inc.,
Term
Loan
887,572
8.682%, 
(TSFR1M
+
3.250%),
4/12/2028
b
863,723
Emerald
Debt
Merger
Sub,
LLC,
Term
Loan
694,595
8.316%, 
(TSFR1M
+
3.000%),
5/31/2030
b
693,296
EnergySolutions,
LLC,
Term
Loan
243,842
0.000%, 
(TSFR1M
+
4.000%),
9/18/2030
b,c,d,e
242,013
Foley
Products
Company,
LLC,
Term
Loan
299,920
10.290%, 
(SOFRRATE
+
4.750%),
2/16/2029
b
298,358
Proampac
PG
Borrower,
LLC,
Term
Loan
486,755
0.000%, 
(TSFR1M
+
4.500%),
9/26/2028
b,d,e
483,591
Principal
Amount
Bank
Loans
(2.4%)
a
Value
Capital
Goods
(0.3%)
-
continued
Quikrete
Holdings,
Inc.,
Term
Loan
$
287,018
8.056%, 
(TSFR1M
+
2.625%),
1/31/2027
b
$
286,300
783,075
8.181%, 
(TSFR1M
+
2.750%),
3/18/2029
b
782,629
Smyrna
Ready
Mix
Concrete,
LLC,
Term
Loan
660,225
9.666%, 
(TSFR1M
+
4.250%),
4/1/2029
b,c
661,050
TK
Elevator
U.S.
Newco,
Inc.,
Term
Loan
550,461
9.381%, 
(TSFR6M
+
3.500%),
7/31/2027
b
548,809
TransDigm,
Inc.,
Term
Loan
1,427,029
8.640%, 
(TSFR1M
+
3.250%),
8/24/2028
b
1,426,801
Vertiv
Group
Corporation,
Term
Loan
540,443
8.192%, 
(TSFR1M
+
2.750%),
3/2/2027
b
539,286
Total
10,525,741
Communications
Services
(0.4%)
Altice
France
SA/France,
Term
Loan
1,128,219
10.808%, 
(TSFR1M
+
5.500%),
8/31/2028
b
1,018,500
CCI
Buyer,
Inc.,
Term
Loan
434,543
9.390%, 
(TSFR3M
+
4.000%),
12/17/2027
b
428,299
Cengage
Learning,
Inc.,
Term
Loan
360,125
10.323%, 
(TSFR3M
+
4.750%),
7/14/2026
b
357,965
Charter
Communications
Operating,
LLC,
Term
Loan
1,355,876
7.116%, 
(TSFR3M
+
1.750%),
2/1/2027
b
1,353,680
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
988,101
9.130%, 
(TSFR3M
+
3.500%),
8/23/2026
b
958,043
CMG
Media
Corporation,
Term
Loan
643,500
0.000%, 
(LIBOR
3M
+
3.500%),
12/17/2026
b,d,e
587,194
Crown
Subsea
Communications
Holding,
Inc.,
Term
Loan
331,700
10.444%, 
(TSFR1M
+
5.000%),
4/27/2027
b
332,254
456,266
10.694%, 
(TSFR1M
+
5.250%),
4/27/2027
b
457,406
CSC
Holdings,
LLC,
Term
Loan
508,283
7.947%, 
(LIBOR
1M
+
2.500%),
4/15/2027
b
459,147
DIRECTV
Financing,
LLC,
Term
Loan
1,224,503
10.431%, 
(TSFR1M
+
5.000%),
8/2/2027
b
1,195,250
Intelsat
Jackson
Holdings
SA,
Term
Loan
644,247
9.772%, 
(TSFR6M
+
4.250%),
2/1/2029
b
642,198
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
279
Principal
Amount
Bank
Loans
(2.4%)
a
Value
Communications
Services
(0.4%)
-
continued
Level
3
Financing,
Inc.,
Term
Loan
$
567,000
7.181%, 
(TSFR1M
+
1.750%),
3/1/2027
b
$
534,539
Lumen
Technologies,
Inc.,
Term
Loan
694,739
7.681%, 
(TSFR1M
+
2.250%),
3/15/2027
b
493,466
McGraw-Hill
Education,
Inc.,
Term
Loan
627,200
10.181%, 
(LIBOR
1M
+
4.750%),
7/30/2028
b,d,e
613,740
MH
Sub
I,
LLC,
Term
Loan
835,266
9.566%, 
(TSFR1M
+
4.250%),
5/3/2028
b
806,942
NEP
Group,
Inc.,
Term
Loan
360,020
8.681%, 
(TSFR1M
+
3.250%),
10/20/2025
b
347,196
Playtika
Holding
Corporation,
Term
Loan
434,543
8.181%, 
(TSFR1M
+
2.750%),
3/11/2028
b
433,731
Radiate
Holdco,
LLC,
Term
Loan
707,681
8.681%, 
(TSFR1M
+
3.250%),
9/25/2026
b
577,170
RLG
Holdings,
LLC,
Term
Loan
349,543
9.681%, 
(TSFR1M
+
4.250%),
7/8/2028
b
327,696
SBA
Senior
Finance
II,
LLC,
Term
Loan
456,167
7.170%, 
(TSFR1M
+
1.750%),
4/11/2025
b,d,e
455,697
UPC
Financing
Partnership,
Term
Loan
332,000
8.372%, 
(TSFR1M
+
2.925%),
1/31/2029
b
326,605
Virgin
Media
Bristol,
LLC,
Term
Loan
824,000
7.947%, 
(TSFR1M
+
2.500%),
1/31/2028
b
799,387
Zayo
Group
Holdings,
Inc.,
Term
Loan
696,000
8.431%, 
(TSFR1M
+
3.000%),
3/9/2027
b
566,760
Ziggo
Financing
Partnership,
Term
Loan
556,000
7.947%, 
(TSFR1M
+
2.500%),
4/30/2028
b
542,562
Total
14,615,427
Consumer
Cyclical
(0.4%)
1011778
B.C.,
ULC,
Term
Loan
1,348,519
7.566%, 
(TSFR1M
+
2.250%),
9/21/2030
b
1,342,626
AlixPartners,
LLP,
Term
Loan
381,091
8.181%, 
(TSFR1M
+
2.750%),
2/4/2028
b
380,520
Allied
Universal
Holdco,
LLC,
Term
Loan
1,345,273
9.166%, 
(TSFR1M
+
3.750%),
5/14/2028
b
1,297,421
Alterra
Mountain
Company,
Term
Loan
423,677
8.931%, 
(TSFR1M
+
3.500%),
8/17/2028
b
422,266
Principal
Amount
Bank
Loans
(2.4%)
a
Value
Consumer
Cyclical
(0.4%)
-
continued
Arches
Buyer,
Inc.,
Term
Loan
$
232,602
8.666%, 
(TSFR1M
+
3.250%),
12/6/2027
b
$
227,368
Caesars
Entertainment,
Inc.,
Term
Loan
831,820
8.666%, 
(TSFR1M
+
3.250%),
2/6/2030
b
831,304
Carnival
Corporation,
Term
Loan
428,315
8.327%, 
(TSFR1M
+
3.000%),
8/8/2027
b
426,708
426,657
8.681%, 
(TSFR1M
+
3.250%),
10/18/2028
b
423,991
Cinemark
USA,
Inc.,
Term
Loan
360,532
9.089%, 
(TSFR1M
+
3.750%),
5/24/2030
b
359,707
Clarios
Global,
LP,
Term
Loan
753,623
9.066%, 
(TSFR1M
+
3.750%),
5/4/2030
b
751,272
Delta
2
Lux
SARL,
Term
Loan
803,000
8.316%, 
(TSFR1M
+
3.000%),
1/15/2030
b
802,197
Ensemble
RCM,
LLC,
Term
Loan
301,430
9.219%, 
(TSFR1M
+
3.750%),
8/1/2026
b
301,538
Fertitta
Entertainment,
LLC/NV,
Term
Loan
328,663
9.316%, 
(TSFR1M
+
4.000%),
1/27/2029
b
324,966
First
Brands
Group,
LLC,
Term
Loan
433,664
10.881%, 
(TSFR6M
+
5.000%),
3/30/2027
b
427,159
GoDaddy
Operating
Company,
LLC,
Term
Loan
530,994
7.816%, 
(TSFR1M
+
2.500%),
11/10/2029
b
531,159
Great
Outdoors
Group,
LLC,
Term
Loan
752,323
9.181%, 
(TSFR1M
+
3.750%),
3/5/2028
b
749,773
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
668,842
8.181%, 
(TSFR1M
+
2.750%),
10/19/2027
b
663,063
IRB
Holding
Corporation,
Term
Loan
775,098
8.416%, 
(TSFR1M
+
3.000%),
12/15/2027
b
771,517
Light
&
Wonder
International,
Inc.,
Term
Loan
815,739
8.434%, 
(TSFR1M
+
3.000%),
4/14/2029
b
814,720
Petco
Health
&
Wellness
Company,
Inc.,
Term
Loan
347,655
8.902%, 
(TSFR3M
+
3.250%),
3/4/2028
b
343,309
PetSmart,
LLC,
Term
Loan
1,061,873
9.166%, 
(TSFR1M
+
3.750%),
2/12/2028
b
1,057,509
Pilot
Travel
Centers,
LLC,
Term
Loan
908,384
7.416%, 
(TSFR1M
+
2.000%),
8/6/2028
b
906,758
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
280
Principal
Amount
Bank
Loans
(2.4%)
a
Value
Consumer
Cyclical
(0.4%)
-
continued
Prime
Security
Services
Borrower,
LLC,
Term
Loan
$
1,079,924
8.192%, 
(TSFR1M
+
2.750%),
9/23/2026
b
$
1,077,969
Scientific
Games
Holdings,
LP,
Term
Loan
550,440
8.768%, 
(TSFR1M
+
3.500%),
4/4/2029
b
546,769
Staples,
Inc.,
Term
Loan
530,842
10.634%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
454,358
Stars
Group
Holdings
BV,
Term
Loan
317,758
7.902%, 
(TSFR3M
+
2.250%),
7/21/2026
b
317,329
Uber
Technologies,
Inc.,
Term
Loan
391,727
8.159%, 
(TSFR1M
+
2.750%),
3/3/2030
b
391,370
UFC
Holdings,
LLC,
Term
Loan
530,303
8.369%, 
(TSFR3M
+
2.750%),
4/29/2026
b
529,460
Total
17,474,106
Consumer
Non-Cyclical
(0.4%)
AI
Aqua
Merger
Sub,
Inc.,
Term
Loan
794,320
9.084%, 
(TSFR1M
+
3.750%),
7/30/2028
b
785,511
Alltech,
Inc.,
Term
Loan
328,358
9.431%, 
(TSFR1M
+
4.000%),
10/15/2028
b
316,455
Amneal
Pharmaceuticals,
LLC,
Term
Loan
733,055
8.931%, 
(TSFR1M
+
3.500%),
5/4/2025
b
718,394
Bausch
+
Lomb
Corporation,
Term
Loan
847,419
8.755%, 
(TSFR1M
+
3.250%),
5/10/2027
b
822,471
315,883
0.000%, 
(TSFR1M
+
4.000%),
9/14/2028
b,c,d,e
311,540
Chobani,
LLC,
Term
Loan
338,906
8.931%, 
(TSFR1M
+
3.500%),
10/23/2027
b
338,588
DaVita,
Inc.,
Term
Loan
271,756
7.181%, 
(TSFR1M
+
1.750%),
8/12/2026
b
268,191
Elanco
Animal
Health,
Inc.,
Term
Loan
428,669
7.180%, 
(TSFR1M
+
1.750%),
8/1/2027
b
420,036
Froneri
U.S.,
Inc.,
Term
Loan
826,458
7.666%, 
(TSFR3M
+
2.250%),
1/31/2027
b
819,598
Gainwell
Acquisition
Corporation,
Term
Loan
1,176,527
9.490%, 
(TSFR3M
+
4.000%),
10/1/2027
b
1,146,007
ICON
Luxembourg
SARL,
Term
Loan
858,566
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
857,879
Principal
Amount
Bank
Loans
(2.4%)
a
Value
Consumer
Non-Cyclical
(0.4%)
-
continued
Jazz
Financing
Lux
SARL,
Term
Loan
$
1,068,864
8.931%, 
(TSFR1M
+
3.500%),
5/5/2028
b
$
1,067,827
LifePoint
Health,
Inc.,
Term
Loan
406,326
0.000%, 
(TSFR1M
+
5.500%),
11/16/2028
b,c,d,e
394,136
1,075,261
9.377%, 
(TSFR3M
+
3.750%),
11/16/2025
b,d,e
1,071,680
Medline
Borrower,
LP,
Term
Loan
1,960,100
8.681%, 
(TSFR1M
+
3.250%),
10/21/2028
b
1,953,632
Organon
&
Company,
Term
Loan
984,223
8.442%, 
(TSFR1M
+
3.000%),
6/2/2028
b
981,270
Packaging
Coordinators
Midco,
Inc.,
Term
Loan
322,519
9.152%, 
(TSFR3M
+
3.500%),
11/30/2027
b
320,807
Phoenix
Newco,
Inc.,
Term
Loan
743,625
8.681%, 
(TSFR1M
+
3.250%),
11/15/2028
b
737,713
PRA
Health
Sciences,
Inc.,
Term
Loan
213,912
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
213,741
Reynolds
Consumer
Products,
LLC,
Term
Loan
616,362
7.166%, 
(TSFR1M
+
1.750%),
2/4/2027
b
615,314
Select
Medical
Corporation,
Term
Loan
544,635
8.316%, 
(TSFR1M
+
3.000%),
3/6/2027
b
542,593
Sotera
Health
Holdings,
LLC,
Term
Loan
676,700
8.181%, 
(TSFR1M
+
2.750%),
12/11/2026
b
669,764
Star
Parent,
Inc.,
Term
Loan
752,400
0.000%, 
(TSFR1M
+
4.000%),
9/28/2030
b,d,e
734,741
Total
16,107,888
Energy
(<0.1%)
Buckeye
Partners,
LP,
Term
Loan
540,443
7.666%, 
(TSFR1M
+
2.250%),
11/1/2026
b
539,632
CQP
Holdco,
LP,
Term
Loan
1,079,952
8.990%, 
(TSFR1M
+
3.500%),
6/4/2028
b
1,079,703
GIP
II
Blue
Holding,
LP,
Term
Loan
187,302
9.931%, 
(TSFR3M
+
4.500%),
9/29/2028
b
187,536
GIP
III
Stetson
I,
LP,
Term
Loan
289,493
9.666%, 
(TSFR1M
+
4.250%),
7/18/2025
b
289,192
Oryx
Midstream
Services
Permian
Basin,
LLC,
Term
Loan
249,064
8.692%, 
(TSFR3M
+
3.250%),
10/5/2028
b
248,676
Total
2,344,739
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
281
Principal
Amount
Bank
Loans
(2.4%)
a
Value
Financials
(0.2%)
Acrisure,
LLC,
Term
Loan
$
508,728
8.931%, 
(LIBOR
1M
+
3.500%),
2/15/2027
b
$
500,914
Alliant
Holdings
Intermediate,
LLC,
Term
Loan
211,840
8.831%, 
(TSFR1M
+
3.500%),
11/6/2027
b
211,376
AmWINS
Group,
Inc.,
Term
Loan
815,618
7.681%, 
(TSFR1M
+
2.250%),
2/19/2028
b
809,966
Asurion,
LLC,
Term
Loan
645,042
8.681%, 
(LIBOR
3M
+
3.250%),
12/23/2026
b
630,529
433,875
8.681%, 
(TSFR3M
+
3.250%),
7/31/2027
b
418,689
83,560
9.666%, 
(TSFR1M
+
4.250%),
8/19/2028
b
81,053
Edelman
Financial
Engines
Center,
LLC,
Term
Loan
222,722
8.931%, 
(TSFR1M
+
3.500%),
4/7/2028
b
220,105
First
Eagle
Holdings,
Inc.,
Term
Loan
222,624
7.990%, 
(TSFR3M
+
2.500%),
2/2/2027
b
220,478
FleetCor
Technologies
Operating
Company,
LLC,
Term  Loan
434,559
7.166%, 
(TSFR1M
+
1.750%),
4/30/2028
b
432,682
Focus
Financial
Partners,
LLC,
Term
Loan
371,188
8.566%, 
(TSFR1M
+
3.250%),
6/30/2028
b
369,900
Howden
Group
Holdings,
Ltd.,
Term
Loan
222,710
8.688%, 
(LIBOR
1M
+
3.250%),
11/12/2027
b
221,763
HUB
International,
Ltd.,
Term
Loan
959,500
9.584%, 
(TSFR1M
+
4.250%),
6/20/2030
b
961,103
Hudson
River
Trading,
LLC,
Term
Loan
232,614
8.631%, 
(TSFR1M
+
3.000%),
3/18/2028
b
230,911
Jane
Street
Group,
LLC,
Term
Loan
434,532
8.181%, 
(TSFR1M
+
2.750%),
1/26/2028
b
432,902
Sedgwick
Claims
Management
Services,
Inc.,
Term
Loan
362,180
9.066%, 
(TSFR1M
+
3.750%),
2/24/2028
b
361,231
Trans
Union,
LLC,
Term
Loan
674,501
7.681%, 
(TSFR1M
+
2.250%),
12/1/2028
b
673,577
USI,
Inc./NY,
Term
Loan
804,870
9.140%, 
(TSFR1M
+
3.750%),
11/22/2029
b
803,639
VFH
Parent,
LLC,
Term
Loan
328,680
8.418%, 
(TSFR1M
+
3.000%),
1/13/2029
b
325,735
Total
7,906,553
Principal
Amount
Bank
Loans
(2.4%)
a
Value
Technology
(0.5%)
Amentum
Government
Services
Holdings,
LLC,
Term  Loan
$
540,526
9.331%, 
(TSFR1M
+
4.000%),
2/15/2029
b
$
532,083
AthenaHealth
Group,
Inc.,
Term
Loan
1,044,005
8.568%, 
(PRIME
+
3.250%),
2/15/2029
b
1,022,801
Boxer
Parent
Company,
Inc.,
Term
Loan
825,250
9.181%, 
(TSFR1M
+
3.750%),
10/2/2025
b
823,996
Central
Parent,
Inc.,
Term
Loan
966,695
9.640%, 
(TSFR3M
+
4.250%),
7/6/2029
b
966,173
Cloud
Software
Group,
Inc.,
Term
Loan
586,055
9.990%, 
(TSFR3M
+
4.500%),
3/30/2029
b
562,736
Coherent
Corporation,
Term
Loan
499,127
8.181%, 
(TSFR3M
+
2.750%),
7/1/2029
b
496,946
CommScope,
Inc.,
Term
Loan
327,892
8.681%, 
(TSFR1M
+
3.250%),
4/4/2026
b
298,546
CoreLogic,
Inc.,
Term
Loan
426,734
8.931%, 
(TSFR1M
+
3.500%),
6/2/2028
b
393,483
Cornerstone
OnDemand,
Inc.,
Term
Loan
592,980
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
562,590
Dcert
Buyer,
Inc.,
Term
Loan
656,200
9.316%, 
(TSFR6M
+
4.000%),
10/16/2026
b
651,206
Dun
&
Bradstreet
Corporation,
Term
Loan
646,168
8.167%, 
(TSFR1M
+
2.750%),
2/8/2026
b
644,753
Entegris,
Inc.,
Term
Loan
459,901
7.871%, 
(TSFR3M
+
2.500%),
7/6/2029
b
459,758
Gen
Digital,
Inc.,
Term
Loan
624,174
7.416%, 
(TSFR1M
+
2.000%),
9/12/2029
b
621,677
Genesys
Cloud
Services
Holdings
II,
LLC,
Term
Loan
541,832
9.431%, 
(TSFR1M
+
4.000%),
12/1/2027
b
541,832
GTCR
W
Merger
Sub,
LLC,
Term
Loan
1,029,600
0.000%, 
(TSFR1M
+
3.000%),
9/20/2030
b,d,e
1,028,848
Informatica,
LLC,
Term
Loan
540,513
8.181%, 
(TSFR1M
+
2.750%),
10/29/2028
b
538,151
Magenta
Buyer,
LLC,
Term
Loan
584,538
10.631%, 
(TSFR3M
+
5.000%),
7/27/2028
b
433,207
McAfee
Corporation,
Term
Loan
1,112,732
9.180%, 
(TSFR1M
+
3.750%),
3/1/2029
b
1,085,258
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
282
Principal
Amount
Bank
Loans
(2.4%)
a
Value
Technology
(0.5%)
-
continued
Mitchell
International,
Inc.,
Term
Loan
$
678,115
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
$
666,052
MKS
Instruments,
Inc.,
Term
Loan
974,160
8.166%, 
(TSFR1M
+
2.750%),
8/17/2029
b
972,592
Open
Text
Corporation,
Term
Loan
837,670
8.166%, 
(TSFR1M
+
2.750%),
1/31/2030
b
837,293
Peraton
Corporation,
Term
Loan
1,678,410
9.166%, 
(TSFR1M
+
3.750%),
2/1/2028
b
1,673,173
Polaris
Newco,
LLC,
Term
Loan
974,061
9.431%, 
(TSFR3M
+
4.000%),
6/4/2028
b
931,270
Proofpoint,
Inc.,
Term
Loan
720,665
8.681%, 
(TSFR1M
+
3.250%),
8/31/2028
b
713,956
RealPage,
Inc.,
Term
Loan
550,384
8.431%, 
(TSFR1M
+
3.000%),
4/22/2028
b
543,504
Tempo
Acquisition,
LLC,
Term
Loan
529,630
8.316%, 
(TSFR1M
+
2.750%),
8/31/2028
b
529,630
UKG,
Inc.,
Term
Loan
1,154,252
8.618%, 
(TSFR3M
+
3.250%),
5/3/2026
b
1,150,050
Verscend
Holding
Corporation,
Term
Loan
794,772
9.431%, 
(TSFR1M
+
4.000%),
8/27/2025
b
793,922
Total
20,475,486
Transportation
(0.1%)
AAdvantage
Loyalty
IP,
Ltd.,
Term
Loan
1,250,295
10.338%, 
(TSFR3M
+
4.750%),
4/20/2028
b
1,286,554
Air
Canada,
Term
Loan
1,027,441
9.128%, 
(TSFR3M
+
3.500%),
8/11/2028
b
1,027,225
Apple
Bidco,
LLC,
Term
Loan
341,462
8.181%, 
(TSFR1M
+
2.750%),
9/23/2028
b
338,731
Brown
Group
Holding,
LLC,
Term
Loan
434,251
8.166%, 
(TSFR1M
+
2.750%),
6/7/2028
b
429,817
Genesee
&
Wyoming,
Inc.,
Term
Loan
540,400
7.490%, 
(TSFR3M
+
2.000%),
12/30/2026
b
539,216
Mileage
Plus
Holdings,
LLC,
Term
Loan
491,250
10.798%, 
(TSFR3M
+
5.250%),
6/20/2027
b
509,726
SkyMiles
IP,
Ltd.,
Term
Loan
982,600
9.076%, 
(TSFR3M
+
3.750%),
10/20/2027
b
1,016,627
Principal
Amount
Bank
Loans
(2.4%)
a
Value
Transportation
(0.1%)
-
continued
United
Airlines,
Inc.,
Term
Loan
$
740,410
9.182%, 
(TSFR3M
+
3.750%),
4/21/2028
b
$
740,580
Total
5,888,476
Utilities
(<0.1%)
PG&E
Corporation,
Term
Loan
794,502
8.431%, 
(TSFR1M
+
3.000%),
6/23/2025
b
793,954
Total
793,954
Total
Bank
Loans
(cost
$98,612,485)
98,792,627
Principal
Amount
Long-Term
Fixed
Income
(
37.3%
)
Value
Asset-Backed
Securities
(1.1%)
510
Asset
Backed
Trust
1,900,000
3.967%, 
5/25/2061,
Ser.
2021-NPL1,
Class
A2
f,g
1,616,947
720
East
CLO
I,
Ltd.
2,100,000
8.576%, 
(TSFR3M
+
3.250%),
1/20/2036,
Ser.
2022-1A,
Class
B
b,f
2,111,926
750,000
9.576%, 
(TSFR3M
+
4.250%),
1/20/2036,
Ser.
2022-1A,
Class
C
b,f
755,711
Access
Group,
Inc.
219,929
5.929%, 
(SOFR30A
+
0.614%),
2/25/2036,
Ser.
2013-1,
Class
A
b,f
216,056
Affirm
Asset
Securitization
Trust
900,000
6.610%, 
1/18/2028,
Ser.
2023-A,
Class
1A
f
895,518
AMSR
Trust
1,100,000
2.352%, 
6/17/2038,
Ser.
2021-SFR1,
Class
C
f
915,909
1,379,000
2.517%, 
12/17/2038,
Ser.
2021-SFR4,
Class
C
f
1,204,841
Ares
XL
CLO,
Ltd.
2,100,000
8.370%, 
(TSFR3M
+
3.062%),
1/15/2029,
Ser.
2016-40A,
Class
CRR
b,f
2,055,629
CarVal
CLO
II,
Ltd.
1,225,000
7.588%, 
(TSFR3M
+
2.262%),
4/20/2032,
Ser.
2019-1A,
Class
CR
b,f
1,207,217
CarVal
CLO
VIII-C,
Ltd.
1,500,000
7.646%, 
(TSFR3M
+
2.300%),
10/22/2035,
Ser.
2022-2A,
Class
A
b,f
1,508,255
1,000,000
8.346%, 
(TSFR3M
+
3.000%),
10/22/2035,
Ser.
2022-2A,
Class
B1
b,f
1,005,671
CMFT
Net
Lease
Master
Issuer,
LLC
1,316,844
2.090%, 
7/20/2051,
Ser.
2021-1,
Class
A1
f
1,085,840
Commonbond
Student
Loan
Trust
201,811
5.934%, 
(TSFR1M
+
0.614%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,f
196,566
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
283
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Asset-Backed
Securities
(1.1%)
-
continued
Dryden
36
Senior
Loan
Fund
$
1,800,000
7.620%, 
(TSFR3M
+
2.312%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,f
$
1,772,356
Foundation
Finance
Trust
843,532
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
f
743,797
FRTKL
Trust
2,350,000
1.922%, 
9/17/2038,
Ser.
2021-SFR1,
Class
C
f
2,040,842
Goodgreen
1,501,679
3.860%, 
10/15/2054,
Ser.
2019-1A,
Class
A
f
1,345,440
Home
Partners
of
America
Trust
2,502,890
2.302%, 
12/17/2026,
Ser.
2021-2,
Class
B
f
2,201,045
2,058,523
2.078%, 
9/17/2041,
Ser.
2021-1,
Class
C
f
1,677,537
Laurel
Road
Prime
Student
Loan
Trust
37,688
2.810%, 
11/25/2042,
Ser.
2017-C,
Class
A2B
f
37,304
718,835
Zero
Coupon, 
11/25/2043,
Ser.
2018-D,
Class
A
b,f
666,372
Longfellow
Place
CLO,
Ltd.
950,000
7.870%, 
(TSFR3M
+
2.562%),
4/15/2029,
Ser.
2013-1A,
Class
CR3
b,f
947,361
Mercury
Financial
Credit
Card
Master
Trust
2,600,000
2.500%, 
9/21/2026,
Ser.
2022-1A,
Class
A
f
2,488,840
National
Collegiate
Trust
572,534
5.729%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,f
554,424
Oak
Street
Investment
1,711,061
1.850%, 
11/20/2050,
Ser.
2020-1A,
Class
A1
f
1,516,738
Preston
Ridge
Partners
Mortgage
Trust,
LLC
1,335,265
2.115%, 
1/25/2026,
Ser.
2021-1,
Class
A1
b,f
1,257,593
Pretium
Mortgage
Credit
Partners,
LLC
1,166,013
5.240%, 
4/25/2052,
Ser.
2022-NPL2,
Class
A1
f,g
1,132,986
674,149
2.240%, 
9/27/2060,
Ser.
2021-NPL1,
Class
A1
f,g
650,555
Progress
Residential
Trust
1,200,000
1.888%, 
5/17/2026,
Ser.
2021-SFR3,
Class
B
f
1,066,662
Renaissance
Home
Equity
Loan
Trust
2,167,539
5.580%, 
11/25/2036,
Ser.
2006-3,
Class
AF2
g
766,404
Saxon
Asset
Securities
Trust
860,035
2.869%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
713,666
Tricon
Residential
Trust
1,500,000
2.244%, 
7/17/2038,
Ser.
2021-SFR1,
Class
B
f
1,338,453
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Asset-Backed
Securities
(1.1%)
-
continued
VCAT
Asset
Securitization,
LLC
$
1,150,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
f,g
$
1,036,130
Vericrest
Opportunity
Loan
Transferee
1,014,972
1.893%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A1
f,g
942,926
764,490
2.116%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A1
f,g
711,252
900,000
4.949%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A2
f,g
680,493
825,000
5.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
f,g
621,596
Wind
River
CLO,
Ltd.
1,275,000
7.588%, 
(TSFR3M
+
2.262%),
7/20/2030,
Ser.
2013-1A,
Class
BRR
b,f
1,266,733
Total
42,953,591
Basic
Materials
(0.3%)
Alcoa
Nederland
Holding
BV
393,000
5.500%, 
12/15/2027
f
373,308
Anglo
American
Capital
plc
675,000
3.875%, 
3/16/2029
f
604,866
ATI,
Inc.
272,000
7.250%, 
8/15/2030
269,960
Cascades,
Inc./Cascades
USA,
Inc.
290,000
5.125%, 
1/15/2026
f
277,604
Chemours
Company
420,000
5.750%, 
11/15/2028
f
364,518
Cleveland-Cliffs,
Inc.
360,000
5.875%, 
6/1/2027
h
342,652
230,000
4.625%, 
3/1/2029
f,h
200,345
Consolidated
Energy
Finance
SA
688,000
5.625%, 
10/15/2028
f
568,460
EIDP,
Inc.
536,000
4.500%, 
5/15/2026
522,077
First
Quantum
Minerals,
Ltd.
724,000
6.875%, 
10/15/2027
f
694,589
FMC
Corporation
519,000
5.150%, 
5/18/2026
504,227
Glencore
Funding,
LLC
536,000
3.375%, 
9/23/2051
f
321,719
765,000
4.000%, 
3/27/2027
f
718,070
515,000
6.125%, 
10/6/2028
e,f
514,116
Hecla
Mining
Company
175,000
7.250%, 
2/15/2028
169,311
Hudbay
Minerals,
Inc.
410,000
4.500%, 
4/1/2026
f
383,586
Illuminate
Buyer,
LLC/Illuminate
Holdings
IV,
Inc.
302,000
9.000%, 
7/1/2028
f
285,224
International
Flavors
&
Fragrances,
Inc.
560,000
1.230%, 
10/1/2025
f
501,983
Methanex
Corporation
385,000
4.250%, 
12/1/2024
374,712
Mineral
Resources,
Ltd.
82,000
9.250%, 
10/1/2028
f
82,820
Mosaic
Company
630,000
4.050%, 
11/15/2027
h
591,359
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
284
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Basic
Materials
(0.3%)
-
continued
Novelis
Corporation
$
160,000
3.250%, 
11/15/2026
f
$
142,895
210,000
4.750%, 
1/30/2030
f
181,744
160,000
3.875%, 
8/15/2031
f
127,774
Nutrien,
Ltd.
268,000
4.900%, 
3/27/2028
258,839
OCI
NV
278,000
4.625%, 
10/15/2025
f
262,836
Olin
Corporation
580,000
5.125%, 
9/15/2027
542,306
SCIL
IV,
LLC/SCIL
USA
Holdings,
LLC
423,000
5.375%, 
11/1/2026
f
386,503
SNF
Group
SACA
409,000
3.375%, 
3/15/2030
f
330,105
SunCoke
Energy,
Inc.
438,000
4.875%, 
6/30/2029
f
372,180
Taseko
Mines,
Ltd.
298,000
7.000%, 
2/15/2026
f
278,371
Unifrax
Escrow
Issuer
Corporation
373,000
5.250%, 
9/30/2028
f
265,630
United
States
Steel
Corporation
438,000
6.875%, 
3/1/2029
430,578
Total
12,245,267
Capital
Goods
(0.7%)
Advanced
Drainage
Systems,
Inc.
375,000
6.375%, 
6/15/2030
f
360,169
AECOM
645,000
5.125%, 
3/15/2027
610,882
Amsted
Industries,
Inc.
465,000
5.625%, 
7/1/2027
f
438,269
ARD
Finance
SA
131,000
6.500%, 
6/30/2027
f
98,832
Ardagh
Packaging
Finance
plc/
Ardagh
Holdings
USA,
Inc.
280,000
5.250%, 
8/15/2027
f
233,659
294,000
5.250%, 
8/15/2027
f,h
245,342
Boeing
Company
1,137,000
5.930%, 
5/1/2060
1,020,933
551,000
5.040%, 
5/1/2027
537,975
1,250,000
5.705%, 
5/1/2040
1,153,253
Bombardier,
Inc.
39,000
7.125%, 
6/15/2026
f
37,785
520,000
7.875%, 
4/15/2027
f
507,388
350,000
6.000%, 
2/15/2028
f
317,519
Brand
Industrial
Services,
Inc.
131,000
10.375%, 
8/1/2030
f
131,202
Builders
FirstSource,
Inc.
265,000
5.000%, 
3/1/2030
f
236,276
Canpack
SA/Canpack
US,
LLC
540,000
3.125%, 
11/1/2025
f
498,140
Carrier
Global
Corporation
762,000
2.700%, 
2/15/2031
617,683
Chart
Industries,
Inc.
411,000
7.500%, 
1/1/2030
f
413,252
Clean
Harbors,
Inc.
548,000
6.375%, 
2/1/2031
f
532,859
Clydesdale
Acquisition
Holdings,
Inc.
55,000
6.625%, 
4/15/2029
f
51,138
110,000
8.750%, 
4/15/2030
f
94,342
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Capital
Goods
(0.7%)
-
continued
CNH
Industrial
NV
$
365,000
3.850%, 
11/15/2027
$
339,714
Cornerstone
Building
Brands,
Inc.
283,000
6.125%, 
1/15/2029
f
214,541
Covanta
Holding
Corporation
208,000
4.875%, 
12/1/2029
f
170,643
CP
Atlas
Buyer,
Inc.
380,000
7.000%, 
12/1/2028
f,h
297,972
Crown
Cork
&
Seal
Company,
Inc.
353,000
7.375%, 
12/15/2026
358,295
Emerald
Debt
Merger
Sub,
LLC
414,000
6.625%, 
12/15/2030
f
398,547
GFL
Environmental,
Inc.
339,000
4.000%, 
8/1/2028
f
296,207
550,000
3.500%, 
9/1/2028
f
473,501
H&E
Equipment
Services,
Inc.
697,000
3.875%, 
12/15/2028
f
595,164
Herc
Holdings,
Inc.
350,000
5.500%, 
7/15/2027
f
330,979
Howmet
Aerospace,
Inc.
900,000
3.000%, 
1/15/2029
761,813
805,000
5.950%, 
2/1/2037
755,843
Ingersoll
Rand,
Inc.
128,000
5.700%, 
8/14/2033
123,535
John
Deere
Capital
Corporation
325,000
4.950%, 
7/14/2028
320,511
Lockheed
Martin
Corporation
774,000
4.500%, 
5/15/2036
705,395
284,000
6.150%, 
9/1/2036
297,913
Mauser
Packaging
Solutions
Holding
Company
216,000
9.250%, 
4/15/2027
f
188,802
MIWD
Holdco
II,
LLC
222,000
5.500%, 
2/1/2030
f
183,426
Mueller
Water
Products,
Inc.
232,000
4.000%, 
6/15/2029
f
202,050
Nesco
Holdings
II,
Inc.
425,000
5.500%, 
4/15/2029
f
372,938
New
Enterprise
Stone
and
Lime
Company,
Inc.
531,000
5.250%, 
7/15/2028
f
476,450
Nordson
Corporation
512,000
5.600%, 
9/15/2028
507,084
Northrop
Grumman
Corporation
935,000
3.850%, 
4/15/2045
696,160
OI
European
Group
BV
444,000
4.750%, 
2/15/2030
f
386,216
Owens-Brockway
Glass
Container,
Inc.
221,000
6.625%, 
5/13/2027
f
215,449
Pactiv
Evergreen
Group
320,000
4.375%, 
10/15/2028
f
277,651
Parker-Hannifin
Corporation
1,341,000
4.500%, 
9/15/2029
1,269,284
PGT
Innovations,
Inc.
426,000
4.375%, 
10/1/2029
f
392,807
Regal
Rexnord
Corporation
670,000
6.050%, 
2/15/2026
f
662,531
Republic
Services,
Inc.
510,000
2.900%, 
7/1/2026
476,942
Roller
Bearing
Company
of
America,
Inc.
314,000
4.375%, 
10/15/2029
f
270,091
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
285
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Capital
Goods
(0.7%)
-
continued
RTX
Corporation
$
414,000
4.125%, 
11/16/2028
$
386,037
775,000
4.450%, 
11/16/2038
652,018
Sealed
Air
Corporation
345,000
6.125%, 
2/1/2028
f
334,140
Silgan
Holdings,
Inc.
164,000
4.125%, 
2/1/2028
146,723
SRM
Escrow
Issuer,
LLC
615,000
6.000%, 
11/1/2028
f
567,929
Textron,
Inc.
710,000
3.375%, 
3/1/2028
642,010
Titan
Acquisition,
Ltd./Titan
Co-
Borrower,
LLC
180,000
7.750%, 
4/15/2026
f
176,400
Trane
Technologies
Financing,
Ltd.
375,000
3.500%, 
3/21/2026
355,929
TransDigm,
Inc.
438,000
6.250%, 
3/15/2026
f
430,370
1,271,000
5.500%, 
11/15/2027
1,190,101
Triumph
Group,
Inc.
353,000
9.000%, 
3/15/2028
f
349,049
United
Rentals
North
America,
Inc.
405,000
4.875%, 
1/15/2028
378,312
360,000
4.000%, 
7/15/2030
306,800
Veralto
Corporation
507,000
5.350%, 
9/18/2028
f
501,265
Waste
Management,
Inc.
515,000
4.875%, 
2/15/2034
487,382
Waste
Pro
USA,
Inc.
205,000
5.500%, 
2/15/2026
f
191,424
WESCO
Distribution,
Inc.
560,000
7.250%, 
6/15/2028
f
562,717
Total
28,813,958
Collateralized
Mortgage
Obligations
(1.6%)
Alternative
Loan
Trust
635,697
6.000%, 
8/1/2036,
Ser.
2006-24CB,
Class
A9
347,168
BINOM
Securitization
Trust
1,025,389
2.370%, 
6/25/2056,
Ser.
2021-INV1,
Class
A2
b,f
860,645
CHNGE
Mortgage
Trust
2,086,850
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
f,g
2,075,200
2,350,593
6.000%, 
10/25/2057,
Ser.
2022-4,
Class
A1
f,g
2,288,000
Citicorp
Mortgage
Securities,
Inc.
1,063,911
6.000%, 
7/25/2037,
Ser.
2007-6,
Class
1A4
905,733
COLT
Mortgage
Loan
Trust
2,003,599
1.726%, 
11/25/2066,
Ser.
2021-5,
Class
A1
b,f
1,641,356
Countrywide
Alternative
Loan
Trust
773,677
3.784%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
b
624,138
1,107,901
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
400,121
Countrywide
Home
Loans,
Inc.
187,019
5.750%, 
4/25/2037,
Ser.
2007-3,
Class
A27
84,584
Credit
Suisse
Mortgage
Trust
1,300,000
3.346%, 
1/25/2067,
Ser.
2022-ATH1,
Class
A1B
b,f
1,094,787
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Collateralized
Mortgage
Obligations
(1.6%)
-
continued
$
1,875,000
4.000%, 
2/25/2067,
Ser.
2022-NQM2,
Class
A1B
b,f
$
1,584,234
1,209,118
6.567%, 
8/25/2067,
Ser.
2022-ATH3,
Class
A3
b,f
1,180,148
1,160,859
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
b,f
918,558
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
81,101
6.000%, 
10/25/2023,
Ser.
2006-AR5,
Class
23A
41,840
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
4,103,334
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
3,871,230
1,153,977
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
i
98,217
1,297,934
3.000%, 
3/15/2033,
Ser.
4180,
Class
PI
i
131,616
3,345,407
4.500%, 
10/15/2033,
Ser.
2695,
Class
BH
3,215,243
2,650,000
2.500%, 
12/15/2048,
Ser.
5094,
Class
BC
1,962,881
Federal
National
Mortgage
Association
-
REMIC
3,059,870
4.500%, 
6/25/2052,
Ser.
2022-43,
Class
MA
2,915,529
1,837,759
4.000%, 
7/25/2052,
Ser.
2022-37,
Class
PE
1,728,685
1,580,932
3.000%, 
12/25/2027,
Ser.
2012-137,
Class
AI
i
59,235
7,392,263
5.250%, 
7/25/2039,
Ser.
2022-72,
Class
CB
7,272,502
3,129,236
4.500%, 
1/25/2046,
Ser.
2022-68,
Class
BA
3,024,747
Flagstar
Mortgage
Trust
1,153,268
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
b,f
957,338
GCAT
Trust
1,570,291
1.855%, 
8/25/2066,
Ser.
2021-NQM6,
Class
A1
b,f
1,319,898
GS
Mortgage-Backed
Securities
Trust
2,566,098
3.000%, 
6/25/2052,
Ser.
2022-GR1,
Class
A2
b,f
2,024,813
J.P.
Morgan
Mortgage
Trust
2,257,936
2.500%, 
2/25/2052,
Ser.
2021-INV7,
Class
A2A
b,f
1,703,771
1,583,072
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
b,f
1,231,216
LHOME
Mortgage
Trust
510,410
2.090%, 
2/25/2026,
Ser.
2021-RTL1,
Class
A1
b,f
507,832
610,727
2.090%, 
6/25/2026,
Ser.
2021-RTL2,
Class
A1
f,g
600,788
Mello
Mortgage
Capital
Acceptance
2,252,451
2.500%, 
8/25/2051,
Ser.
2021-INV2,
Class
A3
b,f
1,699,632
Merrill
Lynch
Alternative
Note
Asset
Trust
185,350
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
70,334
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
286
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Collateralized
Mortgage
Obligations
(1.6%)
-
continued
New
Residential
Mortgage
Loan
Trust
$
4,269,076
2.500%, 
9/25/2051,
Ser.
2021-INV2,
Class
A2
b,f
$
3,221,316
New
York
Mortgage
Trust
1,723,153
2.239%, 
5/25/2026,
Ser.
2021-BPL1,
Class
A1
f,g
1,707,069
Onslow
Bay
Financial,
LLC
1,400,000
3.688%, 
1/25/2062,
Ser.
2022-NQM3,
Class
A1B
b,f
1,141,690
Palisades
Mortgage
Loan
Trust
3,450,000
2.857%, 
6/25/2026,
Ser.
2021-RTL1,
Class
A1
f,g
3,346,616
Residential
Accredit
Loans,
Inc.
Trust
503,072
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
415,219
Residential
Asset
Securitization
Trust
1,621,818
5.375%, 
7/25/2035,
Ser.
2005-A8CB,
Class
A9
979,159
ROC
Securities
Trust
Series
2,000,000
2.487%, 
8/25/2026,
Ser.
2021-RTL1,
Class
A1
b,f
1,946,008
Sequoia
Mortgage
Trust
567,717
3.482%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
b
385,697
Toorak
Mortgage
Corporation,
Ltd.
1,525,866
2.240%, 
6/25/2024,
Ser.
2021-1,
Class
A1
f,g
1,483,677
TRK
Trust
1,509,399
1.966%, 
11/25/2056,
Ser.
2021-INV2,
Class
A1
b,f
1,219,003
Vericrest
Opportunity
Loan
Transferee
1,053,312
2.116%, 
3/27/2051,
Ser.
2021-NPL5,
Class
A1
f,g
996,743
Verus
Securitization
Trust
911,722
2.286%, 
11/25/2066,
Ser.
2021-8,
Class
A2
b,f
735,802
Total
66,020,018
Commercial
Mortgage-Backed
Securities
(1.7%)
BANK
2022-BNK39
9,703,749
0.533%, 
2/15/2055,
Ser.
2022-BNK39,
Class
XA
b,i
260,141
BANK5
2023-5YR2
2,000,000
7.379%, 
6/15/2028,
Ser.
2023-5YR2,
Class
AS
b
2,024,647
BBCMS
Mortgage
Trust
5,384,285
0.839%, 
2/15/2055,
Ser.
2022-C14,
Class
XA
b,i
213,946
2,200,000
5.451%, 
4/15/2056,
Ser.
2023-C19,
Class
A5
2,128,973
17,273,281
1.325%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
b,i
1,303,062
14,304,190
1.949%, 
10/15/2053,
Ser.
2020-C8,
Class
XA
b,i
1,230,073
Benchmark
Mortgage
Trust
2,470,000
2.669%, 
12/15/2054,
Ser.
2021-B31,
Class
A5
1,948,620
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Commercial
Mortgage-Backed
Securities
(1.7%)
-
continued
BFLD
Trust
$
825,000
7.147%, 
(TSFR1M
+
1.814%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,f
$
485,729
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
7,500,000
3.000%, 
6/25/2032,
Ser.
K147,
Class
A2
b,j
6,321,876
4,750,000
3.500%, 
7/25/2032,
Ser.
K148,
Class
A2
b,j
4,163,561
7,500,000
3.530%, 
8/25/2032,
Ser.
K149,
Class
A2
j
6,580,258
650,000
3.710%, 
9/25/2032,
Ser.
K-150,
Class
A2
b,j
577,756
7,150,000
3.800%, 
10/25/2032,
Ser.
K-151,
Class
A2
b,j
6,394,914
10,000,000
3.780%, 
11/25/2032,
Ser.
K-152,
Class
A2
b,j
8,928,710
9,050,000
3.820%, 
12/25/2032,
Ser.
K-153,
Class
A2
b,j
8,094,867
2,700,000
4.350%, 
1/25/2033,
Ser.
K-154,
Class
A2
b,j
2,516,440
6,000,000
4.200%, 
5/25/2033,
Ser.
K-157,
Class
A2
j
5,518,424
Federal
Home
Loan
Mortgage
Corporation
Multifamily
WI
Certificates
1,225,000
4.500%, 
11/25/2033,
Ser.
K159,
Class
A2
1,152,528
1,750,000
4.500%, 
12/25/2033,
Ser.
K160,
Class
A2
1,638,958
MIRA
Trust
2,200,000
6.755%, 
6/10/2038,
Ser.
2023-MILE,
Class
A
f
2,154,703
Morgan
Stanley
Capital
I
Trust
14,737,250
1.960%, 
7/15/2053,
Ser.
2020-HR8,
Class
XA
b,i
1,342,110
MSWF
Commercial
Mortgage
Trust
1,430,000
5.752%, 
5/15/2033,
Ser.
2023-1,
Class
A5
1,408,457
SCOTT
Trust
2,400,000
5.910%, 
3/15/2040,
Ser.
2023-SFS,
Class
A
f
2,326,304
Total
68,715,057
Communications
Services
(1.1%)
Activision
Blizzard,
Inc.
1,071,000
2.500%, 
9/15/2050
637,772
Allen
Media,
LLC/Allen
Media
Co-
Issuer,
Inc.
371,000
10.500%, 
2/15/2028
f
212,201
Altice
Financing
SA
190,000
5.750%, 
8/15/2029
f
155,711
Altice
France
SA/France
200,000
8.125%, 
2/1/2027
f
177,359
381,000
5.125%, 
7/15/2029
f
270,855
346,000
5.500%, 
10/15/2029
f
248,814
AMC
Networks,
Inc.
170,000
5.000%, 
4/1/2024
167,652
530,000
4.250%, 
2/15/2029
325,205
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
287
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Communications
Services
(1.1%)
-
continued
American
Tower
Corporation
$
450,000
3.375%, 
10/15/2026
$
418,936
360,000
5.500%, 
3/15/2028
353,192
505,000
5.800%, 
11/15/2028
501,199
660,000
2.900%, 
1/15/2030
548,340
401,000
5.650%, 
3/15/2033
385,468
AT&T,
Inc.
805,000
3.650%, 
6/1/2051
519,059
1,129,000
3.500%, 
9/15/2053
697,552
558,000
2.300%, 
6/1/2027
494,079
996,000
4.350%, 
3/1/2029
926,900
522,000
5.400%, 
2/15/2034
488,539
1,026,000
4.900%, 
8/15/2037
888,809
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
130,000
5.500%, 
5/1/2026
f
125,570
640,000
5.125%, 
5/1/2027
f
596,298
328,000
5.000%, 
2/1/2028
f
297,869
71,000
6.375%, 
9/1/2029
f
66,205
770,000
4.750%, 
3/1/2030
f
646,377
510,000
4.500%, 
8/15/2030
f
418,615
220,000
4.250%, 
2/1/2031
f
175,128
96,000
4.750%, 
2/1/2032
f
76,800
350,000
4.250%, 
1/15/2034
f
257,697
Cengage
Learning,
Inc.
17,000
9.500%, 
6/15/2024
f
17,014
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
803,000
4.200%, 
3/15/2028
737,024
1,225,000
3.500%, 
6/1/2041
774,664
Cimpress
plc
272,000
7.000%, 
6/15/2026
254,568
Clear
Channel
Outdoor
Holdings,
Inc.
81,000
7.500%, 
6/1/2029
f,h
61,935
Clear
Channel
Worldwide
Holdings,
Inc.
646,000
5.125%, 
8/15/2027
f
573,643
Comcast
Corporation
803,000
5.350%, 
5/15/2053
732,177
690,000
2.887%, 
11/1/2051
406,645
672,000
4.250%, 
10/15/2030
619,026
690,000
4.400%, 
8/15/2035
609,447
1,115,000
4.750%, 
3/1/2044
935,960
Connect
Finco
SARL/Connect
US
Finco,
LLC
212,000
6.750%, 
10/1/2026
f
197,732
CSC
Holdings,
LLC
960,000
5.375%, 
2/1/2028
f
781,547
402,000
6.500%, 
2/1/2029
f
333,031
86,000
4.125%, 
12/1/2030
f
60,863
Deutsche
Telekom
International
Finance
BV
1,335,000
8.750%, 
6/15/2030
1,529,165
DIRECTV
Financing,
LLC/DIRECTV
Financing
Co-Obligor,
Inc.
756,000
5.875%, 
8/15/2027
f
668,440
Discovery
Communications,
LLC
1,001,000
4.900%, 
3/11/2026
976,996
DISH
DBS
Corporation
143,000
5.875%, 
11/15/2024
133,103
194,000
5.250%, 
12/1/2026
f
164,871
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Communications
Services
(1.1%)
-
continued
$
142,000
7.375%, 
7/1/2028
$
89,473
261,000
5.750%, 
12/1/2028
f
200,644
218,000
5.125%, 
6/1/2029
120,855
DISH
Network
Corporation
198,000
11.750%, 
11/15/2027
f
199,478
Frontier
Communications
Holdings,
LLC
457,000
5.875%, 
10/15/2027
f
415,627
167,000
6.750%, 
5/1/2029
f,h
128,486
103,000
8.750%, 
5/15/2030
f
97,796
GCI,
LLC
405,000
4.750%, 
10/15/2028
f
349,312
Gray
Escrow
II,
Inc.
571,000
5.375%, 
11/15/2031
f
373,684
Gray
Television,
Inc.
395,000
4.750%, 
10/15/2030
f
261,676
Hughes
Satellite
Systems
Corporation
270,000
6.625%, 
8/1/2026
230,850
Iliad
Holding
SASU
510,000
6.500%, 
10/15/2026
f
479,152
Lamar
Media
Corporation
223,000
3.625%, 
1/15/2031
181,602
LCPR
Senior
Secured
Financing
DAC
324,000
6.750%, 
10/15/2027
f
297,594
Level
3
Financing,
Inc.
629,000
4.625%, 
9/15/2027
f
452,356
320,000
4.250%, 
7/1/2028
f
199,371
198,000
10.500%, 
5/15/2030
f
199,304
McGraw-Hill
Education,
Inc.
302,000
5.750%, 
8/1/2028
f
260,551
29,000
8.000%, 
8/1/2029
f
25,157
Meta
Platforms,
Inc.
402,000
5.600%, 
5/15/2053
380,477
536,000
4.800%, 
5/15/2030
522,086
1,073,000
3.850%, 
8/15/2032
951,960
Netflix,
Inc.
450,000
5.875%, 
11/15/2028
452,547
480,000
5.375%, 
11/15/2029
f
468,351
450,000
4.875%, 
6/15/2030
f
426,019
News
Corporation
395,000
3.875%, 
5/15/2029
f
339,700
NTT
Finance
Corporation
940,000
4.372%, 
7/27/2027
f
905,469
Omnicom
Group,
Inc.
530,000
3.600%, 
4/15/2026
503,417
330,000
4.200%, 
6/1/2030
295,577
Outfront
Media
Capital,
LLC/
Outfront
Media
Capital
Corporation
224,000
6.250%, 
6/15/2025
f
219,458
164,000
4.625%, 
3/15/2030
f,h
128,922
Playtika
Holding
Corporation
348,000
4.250%, 
3/15/2029
f
290,580
Radiate
Holdco,
LLC/Radiate
Finance,
Inc.
235,000
6.500%, 
9/15/2028
f
123,375
Scripps
Escrow
II,
Inc.
156,000
3.875%, 
1/15/2029
f
117,318
Sirius
XM
Radio,
Inc.
535,000
5.000%, 
8/1/2027
f
488,669
295,000
4.000%, 
7/15/2028
f
251,803
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
288
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Communications
Services
(1.1%)
-
continued
Sprint
Capital
Corporation
$
1,308,000
8.750%, 
3/15/2032
$
1,513,155
Take-Two
Interactive
Software,
Inc.
533,000
4.950%, 
3/28/2028
515,124
TEGNA,
Inc.
586,000
4.625%, 
3/15/2028
506,890
Telecom
Italia
Capital
SA
126,000
6.000%, 
9/30/2034
105,056
Telecom
Italia
SPA/Milano
173,000
5.303%, 
5/30/2024
f
170,092
Telesat
Canada/Telesat,
LLC
215,000
4.875%, 
6/1/2027
f,h
139,322
80,000
6.500%, 
10/15/2027
f
40,800
T-Mobile
USA,
Inc.
1,343,000
3.600%, 
11/15/2060
830,788
900,000
4.375%, 
4/15/2040
723,175
United
States
Cellular
Corporation
360,000
6.700%, 
12/15/2033
350,100
Uniti
Group,
LP/Uniti
Group
Finance,
Inc./CSL
Capital,
LLC
529,000
4.750%, 
4/15/2028
f
431,972
Univision
Communications,
Inc.
420,000
6.625%, 
6/1/2027
f
391,157
Verizon
Communications,
Inc.
806,000
3.000%, 
11/20/2060
436,409
2,342,000
2.650%, 
11/20/2040
1,482,529
1,219,000
3.400%, 
3/22/2041
864,199
VTR
Finance
NV
270,000
6.375%, 
7/15/2028
f
100,774
VZ
Secured
Financing
BV
561,000
5.000%, 
1/15/2032
f
440,696
Warnermedia
Holdings,
Inc.
939,000
5.141%, 
3/15/2052
697,715
805,000
4.054%, 
3/15/2029
717,224
805,000
5.050%, 
3/15/2042
622,578
YPSO
Finance
BIS
SA
176,000
10.500%, 
5/15/2027
f
109,768
Total
44,264,271
Consumer
Cyclical
(1.1%)
1011778
B.C.,
ULC/New
Red
Finance,
Inc.
640,000
4.375%, 
1/15/2028
f
576,863
Adient
Global
Holdings,
Ltd.
225,000
4.875%, 
8/15/2026
f
212,207
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation
230,000
6.625%, 
7/15/2026
f
217,934
235,000
6.000%, 
6/1/2029
f
175,190
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation/
Atlas
Luxco
4
SARL
330,000
4.625%, 
6/1/2028
f
275,009
285,000
4.625%, 
6/1/2028
f
236,606
Allison
Transmission,
Inc.
224,000
3.750%, 
1/30/2031
f
181,082
Amazon.com,
Inc.
670,000
3.875%, 
8/22/2037
571,937
American
Axle
&
Manufacturing,
Inc.
660,000
6.500%, 
4/1/2027
626,624
Arko
Corporation
264,000
5.125%, 
11/15/2029
f
212,927
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Consumer
Cyclical
(1.1%)
-
continued
Ashton
Woods
USA,
LLC/Ashton
Woods
Finance
Company
$
260,000
4.625%, 
8/1/2029
f
$
219,405
160,000
4.625%, 
4/1/2030
f
130,975
Boyd
Gaming
Corporation
395,000
4.750%, 
6/15/2031
f
336,136
Boyne
USA,
Inc.
150,000
4.750%, 
5/15/2029
f
131,198
Brookfield
Residential
Properties,
Inc./Brookfield
Residential
US,
LLC
370,000
6.250%, 
9/15/2027
f
333,118
Caesars
Entertainment,
Inc.
608,000
6.250%, 
7/1/2025
f
599,678
135,000
8.125%, 
7/1/2027
f
135,644
426,000
4.625%, 
10/15/2029
f
360,848
Carnival
Corporation
262,000
7.625%, 
3/1/2026
f
254,869
647,000
5.750%, 
3/1/2027
f
585,680
162,000
4.000%, 
8/1/2028
f
140,466
Cedar
Fair,
LP
388,000
5.250%, 
7/15/2029
337,211
Churchill
Downs,
Inc.
265,000
4.750%, 
1/15/2028
f
239,041
164,000
6.750%, 
5/1/2031
f
154,980
Cinemark
USA,
Inc.
463,000
5.875%, 
3/15/2026
f,h
444,536
Clarios
Global,
LP/Clarios
US
Finance
Company,
Inc.
205,000
8.500%, 
5/15/2027
f,h
204,412
409,000
6.750%, 
5/15/2028
f
399,286
D.R.
Horton,
Inc.
274,000
2.600%, 
10/15/2025
256,381
Daimler
Trucks
Finance
North
America,
LLC
839,000
2.000%, 
12/14/2026
f
749,549
Expedia
Group,
Inc.
1,275,000
3.250%, 
2/15/2030
1,078,399
Ford
Motor
Company
636,000
3.250%, 
2/12/2032
490,142
359,000
6.100%, 
8/19/2032
h
338,147
Ford
Motor
Credit
Company,
LLC
859,000
2.300%, 
2/10/2025
805,714
1,100,000
4.134%, 
8/4/2025
1,042,892
690,000
2.700%, 
8/10/2026
615,732
300,000
7.350%, 
3/6/2030
303,803
Forestar
Group,
Inc.
275,000
3.850%, 
5/15/2026
f
249,615
General
Motors
Company
700,000
6.125%, 
10/1/2025
699,394
1,150,000
6.800%, 
10/1/2027
1,173,590
General
Motors
Financial
Company,
Inc.
450,000
1.500%, 
6/10/2026
397,620
GLP
Capital,
LP
1,004,000
5.750%, 
6/1/2028
962,636
Goodyear
Tire
&
Rubber
Company
270,000
5.000%, 
7/15/2029
232,557
Guitar
Center
Escrow
Issuer
II,
Inc.
127,000
8.500%, 
1/15/2026
f,h
110,301
Hanesbrands,
Inc.
367,000
4.875%, 
5/15/2026
f,h
336,451
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
289
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Consumer
Cyclical
(1.1%)
-
continued
Hilton
Domestic
Operating
Company,
Inc.
$
507,000
4.875%, 
1/15/2030
$
461,409
163,000
3.625%, 
2/15/2032
f
131,410
Hilton
Grand
Vacations
Borrower
Escrow,
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
Inc.
263,000
5.000%, 
6/1/2029
f
228,138
Home
Depot,
Inc.
555,000
5.400%, 
9/15/2040
531,255
840,000
4.250%, 
4/1/2046
674,103
700,000
3.900%, 
6/15/2047
534,427
Hyundai
Capital
America
1,000,000
1.800%, 
1/10/2028
f
837,775
Hyundai
Capital
Services,
Inc.
535,000
2.125%, 
4/24/2025
f
503,347
International
Game
Technology
plc
445,000
5.250%, 
1/15/2029
f
410,072
Jacobs
Entertainment,
Inc.
223,000
6.750%, 
2/15/2029
f
197,912
Jaguar
Land
Rover
Automotive
plc
432,000
5.500%, 
7/15/2029
f
369,358
KB
Home
360,000
4.800%, 
11/15/2029
316,800
Kia
Corporation
405,000
2.375%, 
2/14/2025
f
386,271
Kohl's
Corporation
653,000
4.625%, 
5/1/2031
438,842
715,000
5.550%, 
7/17/2045
402,095
L
Brands,
Inc.
600,000
6.625%, 
10/1/2030
f
562,506
140,000
6.875%, 
11/1/2035
125,032
Lennar
Corporation
930,000
4.750%, 
5/30/2025
909,808
Light
&
Wonder
International,
Inc.
490,000
7.250%, 
11/15/2029
f
480,200
Lowe's
Companies,
Inc.
536,000
5.625%, 
4/15/2053
487,179
1,350,000
2.625%, 
4/1/2031
1,092,010
Macy's
Retail
Holdings,
LLC
390,000
5.875%, 
4/1/2029
f,h
341,480
Marriott
International,
Inc./MD
885,000
4.625%, 
6/15/2030
815,226
Mattamy
Group
Corporation
306,000
5.250%, 
12/15/2027
f
279,265
McDonald's
Corporation
1,140,000
4.450%, 
3/1/2047
928,575
Michaels
Companies,
Inc.
265,000
5.250%, 
5/1/2028
f,h
211,496
NCL
Corporation,
Ltd.
151,000
3.625%, 
12/15/2024
f
145,008
111,000
5.875%, 
3/15/2026
f
102,480
265,000
5.875%, 
2/15/2027
f
252,007
Nissan
Motor
Acceptance
Company,
LLC
880,000
1.125%, 
9/16/2024
f
835,327
Nissan
Motor
Company,
Ltd.
144,000
3.522%, 
9/17/2025
f
136,002
149,000
4.345%, 
9/17/2027
f
136,007
186,000
4.810%, 
9/17/2030
f
160,424
Nordstrom,
Inc.
132,000
4.375%, 
4/1/2030
h
101,548
187,000
4.250%, 
8/1/2031
h
135,617
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Consumer
Cyclical
(1.1%)
-
continued
PENN
Entertainment,
Inc.
$
395,000
4.125%, 
7/1/2029
f,h
$
322,788
PetSmart,
Inc./PetSmart
Finance
Corporation
520,000
4.750%, 
2/15/2028
f
455,228
350,000
7.750%, 
2/15/2029
f
326,161
Prime
Security
Services
Borrower,
LLC/Prime
Finance,
Inc.
688,000
5.750%, 
4/15/2026
f
667,476
305,000
6.250%, 
1/15/2028
f,h
282,481
Realogy
Group,
LLC/Realogy
Group
Co-Issuer
Corporation
500,000
5.750%, 
1/15/2029
f
361,475
Royal
Caribbean
Cruises,
Ltd.
61,000
11.500%, 
6/1/2025
f
64,393
628,000
4.250%, 
7/1/2026
f
575,808
254,000
9.250%, 
1/15/2029
f
268,335
132,000
7.250%, 
1/15/2030
f
130,824
Scientific
Games
Holdings,
LP/
Scientific
Games
US
FinCo,
Inc.
62,000
6.625%, 
3/1/2030
f
53,475
SeaWorld
Parks
and
Entertainment,
Inc.
249,000
5.250%, 
8/15/2029
f
218,722
Six
Flags
Theme
Parks,
Inc.
136,000
7.000%, 
7/1/2025
f
135,655
Staples,
Inc.
314,000
7.500%, 
4/15/2026
f
258,216
197,000
10.750%, 
4/15/2027
f,h
115,649
Starbucks
Corporation
670,000
4.750%, 
2/15/2026
660,141
Station
Casinos,
LLC
307,000
4.625%, 
12/1/2031
f
245,564
Target
Corporation
805,000
2.950%, 
1/15/2052
491,090
Tenneco,
Inc.
273,000
8.000%, 
11/17/2028
f
222,154
Toyota
Motor
Credit
Corporation
718,000
4.700%, 
1/12/2033
678,472
Tripadvisor,
Inc.
84,000
7.000%, 
7/15/2025
f
83,840
Uber
Technologies,
Inc.
310,000
6.250%, 
1/15/2028
f
303,138
VICI
Properties,
LP/VICI
Note
Company,
Inc.
1,489,000
4.625%, 
6/15/2025
f
1,437,912
500,000
5.750%, 
2/1/2027
f
484,034
342,000
3.750%, 
2/15/2027
f
310,335
Viking
Cruises,
Ltd.
534,000
5.875%, 
9/15/2027
f
487,382
Volkswagen
Group
of
America
Finance,
LLC
638,000
4.350%, 
6/8/2027
f
607,116
Wabash
National
Corporation
426,000
4.500%, 
10/15/2028
f
358,846
Walmart,
Inc.
804,000
4.500%, 
9/9/2052
690,638
Wyndham
Hotels
&
Resorts,
Inc.
215,000
4.375%, 
8/15/2028
f
193,109
Yum!
Brands,
Inc.
500,000
4.750%, 
1/15/2030
f
449,110
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
290
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Consumer
Cyclical
(1.1%)
-
continued
ZF
North
America
Capital,
Inc.
$
222,000
7.125%, 
4/14/2030
f
$
217,511
Total
44,954,274
Consumer
Non-Cyclical
(1.3%)
1375209
B.C.,
Ltd.
278,000
9.000%, 
1/30/2028
f
274,796
Abbott
Laboratories
1,408,000
4.750%, 
11/30/2036
1,337,663
AbbVie,
Inc.
575,000
2.950%, 
11/21/2026
533,606
1,250,000
4.300%, 
5/14/2036
1,096,386
450,000
4.850%, 
6/15/2044
390,476
675,000
4.875%, 
11/14/2048
589,874
AdaptHealth,
LLC
495,000
4.625%, 
8/1/2029
f
379,915
Albertsons
Companies,
Inc./
Safeway,
Inc./New
Albertsons,
LP/Albertsons,
LLC
521,000
4.625%, 
1/15/2027
f
491,938
566,000
3.500%, 
3/15/2029
f
482,563
Amgen,
Inc.
735,000
4.200%, 
2/22/2052
550,483
808,000
5.250%, 
3/2/2030
789,405
808,000
5.600%, 
3/2/2043
751,184
Anheuser-Busch
Companies,
LLC/Anheuser-Busch
InBev
Worldwide,
Inc.
1,230,000
4.700%, 
2/1/2036
1,127,340
Anheuser-Busch
InBev
Worldwide,
Inc.
1,510,000
4.375%, 
4/15/2038
1,309,061
802,000
5.550%, 
1/23/2049
768,150
Archer-Daniels-Midland
Company
924,000
2.700%, 
9/15/2051
554,237
AstraZeneca
plc
1,400,000
3.000%, 
5/28/2051
915,304
B&G
Foods,
Inc.
294,000
5.250%, 
4/1/2025
288,509
167,000
5.250%, 
9/15/2027
139,858
220,000
8.000%, 
9/15/2028
f
220,300
BAT
Capital
Corporation
268,000
7.750%, 
10/19/2032
283,085
500,000
7.079%, 
8/2/2043
479,612
Bausch
&
Lomb
Escrow
Corporation
82,000
8.375%, 
10/1/2028
f
82,244
Bausch
Health
Companies,
Inc.
153,000
5.500%, 
11/1/2025
f,h
135,498
562,000
4.875%, 
6/1/2028
f
319,602
370,000
11.000%, 
9/30/2028
f
251,026
Baxter
International,
Inc.
755,000
3.132%, 
12/1/2051
449,266
Becton,
Dickinson
and
Company
291,000
3.794%, 
5/20/2050
209,662
865,000
3.700%, 
6/6/2027
810,625
BellRing
Brands,
Inc.
232,000
7.000%, 
3/15/2030
f
228,441
Bristol-Myers
Squibb
Company
1,344,000
3.550%, 
3/15/2042
1,008,918
Cargill,
Inc.
809,000
3.125%, 
5/25/2051
f
518,692
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Consumer
Non-Cyclical
(1.3%)
-
continued
Catalent
Pharma
Solutions,
Inc.
$
274,000
3.125%, 
2/15/2029
f,h
$
224,733
Central
Garden
&
Pet
Company
500,000
4.125%, 
10/15/2030
416,857
Cheplapharm
Arzneimittel
GmbH
60,000
5.500%, 
1/15/2028
f
54,440
Chobani,
LLC/Chobani
Finance
Corporation,
Inc.
399,000
4.625%, 
11/15/2028
f
351,910
CHS/Community
Health
Systems,
Inc.
301,000
5.625%, 
3/15/2027
f
258,172
96,000
8.000%, 
12/15/2027
f
89,520
401,000
6.000%, 
1/15/2029
f
323,840
167,000
5.250%, 
5/15/2030
f
126,949
176,000
4.750%, 
2/15/2031
f
124,559
Constellation
Brands,
Inc.
810,000
3.600%, 
2/15/2028
745,080
475,000
2.875%, 
5/1/2030
398,647
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US,
LLC
493,000
4.750%, 
1/15/2029
f
444,573
273,000
6.625%, 
7/15/2030
f
266,541
CVS
Health
Corporation
1,205,000
5.625%, 
2/21/2053
1,083,050
602,000
5.125%, 
2/21/2030
579,018
1,295,000
4.875%, 
7/20/2035
1,157,877
Edgewell
Personal
Care
Company
290,000
5.500%, 
6/1/2028
f
267,887
Eli
Lilly
&
Company
401,000
4.950%, 
2/27/2063
363,817
Embecta
Corporation
128,000
6.750%, 
2/15/2030
f
104,640
Encompass
Health
Corporation
615,000
4.500%, 
2/1/2028
560,337
Energizer
Holdings,
Inc.
455,000
4.750%, 
6/15/2028
f
392,973
Fortrea
Holdings,
Inc.
212,000
7.500%, 
7/1/2030
f
206,279
General
Mills,
Inc.
214,000
4.950%, 
3/29/2033
200,513
Grifols
SA
381,000
4.750%, 
10/15/2028
f
324,844
HCA,
Inc.
921,000
3.500%, 
9/1/2030
779,189
HLF
Financing
SARL,
LLC/
Herbalife
International,
Inc.
726,000
4.875%, 
6/1/2029
f
515,460
Imperial
Brands
Finance
plc
1,200,000
3.875%, 
7/26/2029
f
1,056,479
Jazz
Securities
DAC
223,000
4.375%, 
1/15/2029
f
194,430
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
Luxembourg
SARL
515,000
6.750%, 
3/15/2034
f
501,090
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
USA
Finance,
Inc.
268,000
4.375%, 
2/2/2052
178,107
533,000
5.500%, 
1/15/2030
497,575
743,000
3.000%, 
5/15/2032
560,506
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
291
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Consumer
Non-Cyclical
(1.3%)
-
continued
Kenvue,
Inc.
$
1,077,000
5.350%, 
3/22/2026
f
$
1,074,444
Kimberly-Clark
Corporation
710,000
3.900%, 
5/4/2047
544,961
Kraft
Heinz
Foods
Company
567,000
3.875%, 
5/15/2027
534,156
140,000
5.200%, 
7/15/2045
122,320
900,000
4.375%, 
6/1/2046
701,317
Lamb
Weston
Holdings,
Inc.
241,000
4.125%, 
1/31/2030
f
206,091
Legacy
LifePoint
Health,
LLC
163,000
4.375%, 
2/15/2027
f
140,180
LifePoint
Health,
Inc.
167,000
11.000%, 
10/15/2030
f
167,000
Mattel,
Inc.
548,000
3.375%, 
4/1/2026
f
506,735
670,000
5.450%, 
11/1/2041
552,633
Medtronic,
Inc.
804,000
4.375%, 
3/15/2035
728,257
ModivCare
Escrow
Issuer,
Inc.
136,000
5.000%, 
10/1/2029
f
97,580
ModivCare,
Inc.
109,000
5.875%, 
11/15/2025
f
103,611
Mozart
Debt
Merger
Sub,
Inc.
391,000
3.875%, 
4/1/2029
f
330,560
262,000
5.250%, 
10/1/2029
f,h
226,446
Newell
Brands,
Inc.
774,000
4.700%, 
4/1/2026
729,412
Organon
&
Company/Organon
Foreign
Debt
Co-Issuer
BV
384,000
4.125%, 
4/30/2028
f
333,661
225,000
5.125%, 
4/30/2031
f
180,304
Owens
&
Minor,
Inc.
371,000
6.625%, 
4/1/2030
f,h
329,294
PepsiCo,
Inc.
725,000
4.200%, 
7/18/2052
598,990
Perrigo
Finance
Unlimited
Company
397,000
4.375%, 
3/15/2026
371,203
Pfizer
Investment
Enterprises
Pte,
Ltd.
1,204,000
5.300%, 
5/19/2053
1,118,700
401,000
4.750%, 
5/19/2033
379,056
509,000
5.110%, 
5/19/2043
467,439
Philip
Morris
International,
Inc.
803,000
4.875%, 
2/13/2026
789,817
550,000
5.125%, 
11/17/2027
538,555
512,000
5.500%, 
9/7/2030
497,863
802,000
5.375%, 
2/15/2033
760,165
Post
Holdings,
Inc.
322,000
4.500%, 
9/15/2031
f
267,999
Primo
Water
Holdings,
Inc.
333,000
4.375%, 
4/30/2029
f
284,715
RegionalCare
Hospital
Partners
Holdings,
Inc./LifePoint
Health,
Inc.
163,000
9.750%, 
12/1/2026
f
157,802
Reynolds
American,
Inc.
952,000
5.700%, 
8/15/2035
851,750
Roche
Holdings,
Inc.
768,000
4.000%, 
11/28/2044
f
622,541
Scotts
Miracle-Gro
Company
152,000
4.500%, 
10/15/2029
124,264
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Consumer
Non-Cyclical
(1.3%)
-
continued
SEG
Holding,
LLC
$
560,000
5.625%, 
10/15/2028
f
$
561,400
Simmons
Foods,
Inc.
315,000
4.625%, 
3/1/2029
f
258,402
Spectrum
Brands,
Inc.
250,000
5.000%, 
10/1/2029
f
226,525
210,000
5.500%, 
7/15/2030
f
190,407
310,000
3.875%, 
3/15/2031
f
251,509
Star
Parent,
Inc.
274,000
9.000%, 
10/1/2030
f
276,878
Sysco
Corporation
797,000
6.600%, 
4/1/2040
814,436
Takeda
Pharmaceutical
Company,
Ltd.
800,000
3.175%, 
7/9/2050
506,238
Teleflex,
Inc.
630,000
4.250%, 
6/1/2028
f
563,566
Tenet
Healthcare
Corporation
1,120,000
5.125%, 
11/1/2027
1,042,311
205,000
6.125%, 
10/1/2028
192,444
330,000
6.750%, 
5/15/2031
f
318,275
Teva
Pharmaceutical
Finance
Netherlands
III
BV
297,000
3.150%, 
10/1/2026
264,707
TreeHouse
Foods,
Inc.
438,000
4.000%, 
9/1/2028
h
355,328
Wyeth,
LLC
525,000
6.500%, 
2/1/2034
564,629
Zoetis,
Inc.
1,266,000
4.700%, 
2/1/2043
1,091,224
Total
54,035,711
Energy
(1.0%)
Antero
Midstream
Partners,
LP/
Antero
Midstream
Finance
Corporation
106,000
5.375%, 
6/15/2029
f
97,052
Antero
Resources
Corporation
146,000
5.375%, 
3/1/2030
f
134,418
Archrock
Partners,
LP/Archrock
Partners
Finance
Corporation
480,000
6.250%, 
4/1/2028
f
446,892
Baytex
Energy
Corporation
274,000
8.500%, 
4/30/2030
f
277,241
BP
Capital
Markets
America,
Inc.
1,707,000
2.939%, 
6/4/2051
1,042,225
Buckeye
Partners,
LP
480,000
3.950%, 
12/1/2026
431,035
Callon
Petroleum
Company
177,000
7.500%, 
6/15/2030
f,h
171,615
Canadian
Natural
Resources,
Ltd.
430,000
2.950%, 
7/15/2030
356,639
Cheniere
Energy
Partners,
LP
2,144,000
4.500%, 
10/1/2029
1,941,335
Chesapeake
Energy
Corporation
208,000
6.750%, 
4/15/2029
f
203,549
Chord
Energy
Corporation
207,000
6.375%, 
6/1/2026
f
202,968
Civitas
Resources,
Inc.
124,000
8.375%, 
7/1/2028
f
126,170
187,000
8.750%, 
7/1/2031
f
191,015
CNX
Resources
Corporation
159,000
6.000%, 
1/15/2029
f
148,574
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
292
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Energy
(1.0%)
-
continued
Columbia
Pipelines
Holding
Company,
LLC
$
514,000
6.042%, 
8/15/2028
f
$
511,395
Columbia
Pipelines
Operating
Company,
LLC
130,000
5.927%, 
8/15/2030
f
128,326
Comstock
Resources,
Inc.
330,000
5.875%, 
1/15/2030
f
285,658
Continental
Resources,
Inc.
936,000
2.268%, 
11/15/2026
f
829,248
CQP
Holdco,
LP/BIP-V
Chinnok
Holdco,
LLC
306,000
5.500%, 
6/15/2031
f
271,223
Crescent
Energy
Finance,
LLC
300,000
9.250%, 
2/15/2028
f
306,285
CrownRock,
LP/CrownRock
Finance,
Inc.
247,000
5.625%, 
10/15/2025
f
243,036
Diamond
Foreign
Asset
Company/
Diamond
Finance,
LLC
110,000
8.500%, 
10/1/2030
f
110,015
DT
Midstream,
Inc.
223,000
4.125%, 
6/15/2029
f
192,904
135,000
4.375%, 
6/15/2031
f
113,523
Enbridge,
Inc.
670,000
2.500%, 
2/14/2025
638,407
Enerflex,
Ltd.
224,000
9.000%, 
10/15/2027
f
221,200
Energy
Transfer,
LP
528,000
4.000%, 
10/1/2027
490,273
765,000
4.900%, 
3/15/2035
672,800
600,000
5.150%, 
2/1/2043
476,814
1,090,000
6.000%, 
6/15/2048
967,414
EnLink
Midstream
Partners,
LP
511,000
4.850%, 
7/15/2026
481,085
Enterprise
Products
Operating,
LLC
724,000
3.300%, 
2/15/2053
471,112
EQM
Midstream
Partners,
LP
754,000
4.750%, 
1/15/2031
f
648,997
EQT
Corporation
446,000
6.125%, 
2/1/2025
444,462
805,000
3.900%, 
10/1/2027
744,604
Exxon
Mobil
Corporation
1,200,000
3.452%, 
4/15/2051
839,607
Ferrellgas,
LP/Ferrellgas
Finance
Corporation
276,000
5.375%, 
4/1/2026
f
258,693
Genesis
Energy
LP/Genesis
Energy
Finance
Corporation
440,000
8.875%, 
4/15/2030
429,611
Halliburton
Company
662,000
4.850%, 
11/15/2035
595,335
537,000
5.000%, 
11/15/2045
455,207
Harvest
Midstream,
LP
589,000
7.500%, 
9/1/2028
f
569,346
Hess
Midstream
Operations,
LP
268,000
5.625%, 
2/15/2026
f
258,955
Hilcorp
Energy
I,
LP/Hilcorp
Finance
Company
430,000
5.750%, 
2/1/2029
f
388,287
318,000
6.250%, 
4/15/2032
f
282,750
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Energy
(1.0%)
-
continued
Howard
Midstream
Energy
Partners,
LLC
$
409,000
6.750%, 
1/15/2027
f
$
388,550
ITT
Holdings,
LLC
380,000
6.500%, 
8/1/2029
f
322,097
Laredo
Petroleum,
Inc.
471,000
7.750%, 
7/31/2029
f
438,183
Magellan
Midstream
Partners,
LP
423,000
5.000%, 
3/1/2026
415,166
MEG
Energy
Corporation
357,000
5.875%, 
2/1/2029
f
333,393
MPLX,
LP
660,000
4.875%, 
6/1/2025
647,371
1,073,000
4.950%, 
9/1/2032
977,193
202,000
5.000%, 
3/1/2033
184,070
Murphy
Oil
Corporation
240,000
5.875%, 
12/1/2027
232,897
Nabors
Industries,
Ltd.
505,000
7.250%, 
1/15/2026
f
487,956
National
Fuel
Gas
Company
935,000
5.500%, 
1/15/2026
919,541
New
Fortress
Energy,
Inc.
180,000
6.750%, 
9/15/2025
f
171,829
Noble
Finance
II,
LLC
273,000
8.000%, 
4/15/2030
f
276,570
Northern
Oil
and
Gas,
Inc.
276,000
8.750%, 
6/15/2031
f
278,070
Northriver
Midstream
Finance,
LP
134,000
5.625%, 
2/15/2026
f
127,695
NuStar
Logistics,
LP
252,000
5.750%, 
10/1/2025
245,070
Occidental
Petroleum
Corporation
1,269,000
7.875%, 
9/15/2031
1,373,186
Ovintiv,
Inc.
267,000
5.650%, 
5/15/2025
265,472
933,000
5.375%, 
1/1/2026
919,907
PBF
Holding
Company,
LLC/PBF
Finance
Corporation
219,000
6.000%, 
2/15/2028
206,554
Permian
Resources
Operating,
LLC
248,000
7.000%, 
1/15/2032
f
244,581
Phillips
66
Company
601,000
4.950%, 
12/1/2027
588,962
Precision
Drilling
Corporation
335,000
6.875%, 
1/15/2029
f
317,312
Range
Resources
Corporation
221,000
4.750%, 
2/15/2030
f
196,137
Rockcliff
Energy
II,
LLC
292,000
5.500%, 
10/15/2029
f
262,790
Rockies
Express
Pipeline,
LLC
81,000
4.950%, 
7/15/2029
f
72,146
SM
Energy
Company
131,000
6.625%, 
1/15/2027
128,380
200,000
6.500%, 
7/15/2028
192,000
Southwestern
Energy
Company
295,000
5.375%, 
3/15/2030
268,761
191,000
4.750%, 
2/1/2032
163,933
Suburban
Propane
Partners,
LP/
Suburban
Energy
Finance
Corporation
123,000
5.875%, 
3/1/2027
117,465
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
293
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Energy
(1.0%)
-
continued
Suncor
Energy,
Inc.
$
977,000
7.150%, 
2/1/2032
$
1,027,722
Sunoco,
LP/Sunoco
Finance
Corporation
385,000
5.875%, 
3/15/2028
369,336
Tallgrass
Energy
Partners
LP/
Tallgrass
Energy
Finance
Corporation
495,000
5.500%, 
1/15/2028
f
450,450
Targa
Resources
Corporation
939,000
4.200%, 
2/1/2033
798,420
Teine
Energy,
Ltd.
280,000
6.875%, 
4/15/2029
f
256,900
Transocean,
Inc.
265,000
11.500%, 
1/30/2027
f
277,919
406,600
8.750%, 
2/15/2030
f
415,749
USA
Compression
Partners,
LP/
USA
Compression
Finance
Corporation
371,000
6.875%, 
4/1/2026
363,410
Valaris,
Ltd.
272,000
8.375%, 
4/30/2030
f
272,204
Venture
Global
Calcasieu
Pass,
LLC
389,000
3.875%, 
8/15/2029
f
327,335
279,000
6.250%, 
1/15/2030
f
266,130
235,000
4.125%, 
8/15/2031
f
192,846
Venture
Global
LNG,
Inc.
562,000
8.375%, 
6/1/2031
f
552,481
Weatherford
International,
Ltd.
423,000
8.625%, 
4/30/2030
f
426,238
Western
Midstream
Operating,
LP
515,000
6.350%, 
1/15/2029
516,062
267,000
6.150%, 
4/1/2033
257,497
Williams
Companies,
Inc.
537,000
5.300%, 
8/15/2052
456,399
900,000
7.500%, 
1/15/2031
957,105
Total
39,044,740
Financials
(3.2%)
Acrisure,
LLC/Acrisure
Finance,
Inc.
94,000
6.000%, 
8/1/2029
f
78,992
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
570,000
3.500%, 
1/15/2025
549,853
581,000
6.100%, 
1/15/2027
578,156
950,000
3.875%, 
1/23/2028
861,552
475,000
3.400%, 
10/29/2033
367,423
Air
Lease
Corporation
1,350,000
3.000%, 
2/1/2030
1,110,367
Aircastle,
Ltd.
565,000
5.250%, 
8/11/2025
f
550,334
Alliant
Holdings
Intermediate,
LLC/
Alliant
Holdings
Co-Issuer,
Inc.
211,000
6.750%, 
10/15/2027
f
196,232
Ally
Financial,
Inc.
900,000
5.750%, 
11/20/2025
874,222
900,000
8.000%, 
11/1/2031
908,671
72,000
6.700%, 
2/14/2033
62,503
American
Homes
4
Rent,
LP
880,000
2.375%, 
7/15/2031
670,938
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Financials
(3.2%)
-
continued
American
International
Group,
Inc.
$
1,019,000
5.125%, 
3/27/2033
$
948,138
AmWINS
Group,
Inc.
255,000
4.875%, 
6/30/2029
f
223,438
ANZ
Bank
New
Zealand,
Ltd.
550,000
5.548%, 
8/11/2032
b,f
534,029
Aon
Corporation/Aon
Global
Holdings
plc
270,000
5.350%, 
2/28/2033
258,837
Ares
Capital
Corporation
397,000
3.250%, 
7/15/2025
371,876
975,000
3.875%, 
1/15/2026
912,322
450,000
2.150%, 
7/15/2026
394,811
Associated
Banc-Corp
650,000
4.250%, 
1/15/2025
625,087
Australia
&
New
Zealand
Banking
Group,
Ltd.
500,000
2.950%, 
7/22/2030
b,f
464,147
Avolon
Holdings
Funding,
Ltd.
471,000
5.250%, 
5/15/2024
f
466,470
250,000
4.250%, 
4/15/2026
f
234,974
Banco
Santander
Mexico
SA
675,000
5.375%, 
4/17/2025
f
663,427
Banco
Santander
SA
1,000,000
4.175%, 
3/24/2028
b
923,378
Bank
of
America
Corporation
924,000
5.080%, 
1/20/2027
b
903,166
500,000
1.734%, 
7/22/2027
b
443,080
1,210,000
3.824%, 
1/20/2028
b
1,123,655
467,000
5.202%, 
4/25/2029
b
449,863
450,000
2.087%, 
6/14/2029
b
376,710
1,200,000
2.496%, 
2/13/2031
b
961,727
1,250,000
1.922%, 
10/24/2031
b
943,043
804,000
2.972%, 
2/4/2033
b
633,998
1,609,000
4.571%, 
4/27/2033
b
1,428,524
760,000
5.872%, 
9/15/2034
b
739,617
1,075,000
3.846%, 
3/8/2037
b
874,356
Bank
of
Nova
Scotia
275,000
4.850%, 
2/1/2030
258,965
Barclays
plc
783,000
6.496%, 
9/13/2027
b
780,923
1,185,000
4.972%, 
5/16/2029
b
1,107,005
825,000
5.746%, 
8/9/2033
b
761,363
Berkshire
Hathaway
Finance
Corporation
1,071,000
2.850%, 
10/15/2050
666,343
Blackstone
Private
Credit
Fund
799,000
2.700%, 
1/15/2025
756,770
Blue
Owl
Capital
Corporation
225,000
4.250%, 
1/15/2026
210,496
Blue
Owl
Credit
Income
Corporation
670,000
4.700%, 
2/8/2027
609,680
Blue
Owl
Technology
Finance
Corporation
225,000
4.750%, 
12/15/2025
f
208,116
BNP
Paribas
SA
1,340,000
3.132%, 
1/20/2033
b,f
1,052,820
BPCE
SA
860,000
3.500%, 
10/23/2027
f
776,872
Brookfield
Property
REIT,
Inc./BPR
Cumulus,
LLC/BPR
Nimbus,
LLC/GGSI
Sellco,
LLC
95,000
4.500%, 
4/1/2027
f
79,169
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
294
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Financials
(3.2%)
-
continued
Burford
Capital
Global
Finance,
LLC
$
300,000
9.250%, 
7/1/2031
f
$
304,343
Camden
Property
Trust
1,500,000
3.150%, 
7/1/2029
1,328,901
Canadian
Imperial
Bank
of
Commerce
803,000
5.001%, 
4/28/2028
770,935
Capital
One
Financial
Corporation
1,000,000
4.200%, 
10/29/2025
953,545
805,000
2.636%, 
3/3/2026
b
759,733
Castlelake
Aviation
Finance
DAC
144,000
5.000%, 
4/15/2027
f
131,524
Centene
Corporation
1,312,000
2.625%, 
8/1/2031
1,004,864
Charles
Schwab
Corporation
1,340,000
2.450%, 
3/3/2027
1,193,596
518,000
6.136%, 
8/24/2034
b
503,888
Chubb
INA
Holdings,
Inc.
527,000
4.350%, 
11/3/2045
432,364
Citigroup,
Inc.
721,000
0.981%, 
5/1/2025
b
697,793
1,240,000
4.400%, 
6/10/2025
1,203,215
620,000
3.200%, 
10/21/2026
572,401
1,404,000
3.668%, 
7/24/2028
b
1,287,908
415,000
4.125%, 
7/25/2028
377,571
700,000
3.520%, 
10/27/2028
b
633,260
1,141,000
4.910%, 
5/24/2033
b
1,038,203
648,000
6.174%, 
5/25/2034
b
619,244
Cooperatieve
Rabobank
UA
1,071,000
5.564%, 
2/28/2029
b,f
1,043,835
Corebridge
Financial,
Inc.
536,000
4.400%, 
4/5/2052
392,125
402,000
4.350%, 
4/5/2042
303,968
Credit
Acceptance
Corporation
450,000
5.125%, 
12/31/2024
f
438,289
Credit
Agricole
SA
550,000
6.875%, 
9/23/2024
b,f,k
536,496
Credit
Suisse
Group
AG
775,000
7.250%, 
9/12/2025
b,f,k,l
73,625
Danske
Bank
AS
400,000
0.976%, 
9/10/2025
b,f
379,147
Deutsche
Bank
AG/New
York,
NY
950,000
3.729%, 
1/14/2032
b
707,174
Discover
Bank
1,410,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
b
1,290,194
Drawbridge
Special
Opportunities
Fund,
LP
600,000
3.875%, 
2/15/2026
f
533,829
Elevance
Health,
Inc.
900,000
3.125%, 
5/15/2050
566,100
725,000
4.625%, 
5/15/2042
608,088
Enact
Holdings,
Inc.
209,000
6.500%, 
8/15/2025
f
205,846
EPR
Properties
355,000
4.950%, 
4/15/2028
314,556
Fifth
Third
Bancorp
356,000
6.339%, 
7/27/2029
b
351,680
First
Horizon
Bank
225,000
5.750%, 
5/1/2030
h
201,392
First
Horizon
National
Corporation
900,000
4.000%, 
5/26/2025
849,758
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Financials
(3.2%)
-
continued
First-Citizens
Bank
&
Trust
Company
$
1,005,000
6.125%, 
3/9/2028
$
998,217
Five
Corners
Funding
Trust
IV
536,000
5.997%, 
2/15/2053
f
507,715
Fortress
Transportation
and
Infrastructure
Investors,
LLC
279,000
6.500%, 
10/1/2025
f
274,214
139,000
9.750%, 
8/1/2027
f
143,773
69,000
5.500%, 
5/1/2028
f
62,555
Freedom
Mortgage
Corporation
110,000
12.000%, 
10/1/2028
f
111,854
FS
KKR
Capital
Corporation
955,000
4.250%, 
2/14/2025
f
914,407
1,137,000
3.400%, 
1/15/2026
1,041,932
GGAM
Finance,
Ltd.
274,000
7.750%, 
5/15/2026
f
271,261
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership,
LP
517,000
3.750%, 
12/15/2027
f
400,285
Goldman
Sachs
Group,
Inc.
684,000
1.948%, 
10/21/2027
b
603,940
230,000
1.992%, 
1/27/2032
b
172,413
2,413,000
3.102%, 
2/24/2033
b
1,929,692
460,000
4.750%, 
10/21/2045
387,101
Healthpeak
OP,
LLC
173,000
3.400%, 
2/1/2025
166,984
HSBC
Holdings
plc
1,525,000
3.803%, 
3/11/2025
b
1,506,195
1,000,000
2.999%, 
3/10/2026
b
952,960
1,040,000
3.900%, 
5/25/2026
984,007
800,000
5.402%, 
8/11/2033
b
737,212
HUB
International,
Ltd.
416,000
5.625%, 
12/1/2029
f
362,235
Icahn
Enterprises,
LP/Icahn
Enterprises
Finance
Corporation
278,000
6.375%, 
12/15/2025
264,452
307,000
5.250%, 
5/15/2027
269,847
Intercontinental
Exchange,
Inc.
450,000
4.950%, 
6/15/2052
389,604
Invitation
Homes
Operating
Partnership,
LP
670,000
2.000%, 
8/15/2031
495,827
J.P.
Morgan
Chase
&
Company
450,000
0.824%, 
6/1/2025
b
433,194
725,000
1.040%, 
2/4/2027
b
645,217
714,000
1.578%, 
4/22/2027
b
637,196
1,075,000
2.947%, 
2/24/2028
b
975,189
1,350,000
4.203%, 
7/23/2029
b
1,251,123
700,000
2.522%, 
4/22/2031
b
567,405
975,000
1.953%, 
2/4/2032
b
739,414
1,073,000
4.586%, 
4/26/2033
b
967,251
805,000
4.912%, 
7/25/2033
b
740,640
1,125,000
3.882%, 
7/24/2038
b
898,261
Jefferies
Finance,
LLC/JFIN
Co-
Issuer
Corporation
112,000
5.000%, 
8/15/2028
f
94,305
KeyBank
NA/Cleveland,
OH
599,000
5.000%, 
1/26/2033
504,217
KeyCorp
425,000
3.878%, 
5/23/2025
b
409,696
Kimco
Realty
Corporation
749,000
3.300%, 
2/1/2025
720,558
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
295
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Financials
(3.2%)
-
continued
Lloyds
Banking
Group
plc
$
802,000
5.871%, 
3/6/2029
b
$
784,191
LPL
Holdings,
Inc.
340,000
4.000%, 
3/15/2029
f
296,433
Macquarie
Group,
Ltd.
961,000
1.201%, 
10/14/2025
b,f
911,238
Manufacturers
&
Traders
Trust
Company
803,000
4.700%, 
1/27/2028
741,613
Marsh
&
McLennan
Companies,
Inc.
201,000
5.450%, 
3/15/2053
187,625
504,000
5.400%, 
9/15/2033
490,698
Massachusetts
Mutual
Life
Insurance
Company
1,000,000
3.200%, 
12/1/2061
*
562,479
Mitsubishi
UFJ
Financial
Group,
Inc.
730,000
0.962%, 
10/11/2025
b
690,269
802,000
5.422%, 
2/22/2029
b
784,944
1,350,000
2.048%, 
7/17/2030
1,051,752
Molina
Healthcare,
Inc.
286,000
4.375%, 
6/15/2028
f
256,270
Morgan
Stanley
325,000
2.630%, 
2/18/2026
b
309,345
475,000
2.188%, 
4/28/2026
b
446,212
1,350,000
4.350%, 
9/8/2026
1,287,197
1,053,000
5.050%, 
1/28/2027
b
1,032,184
1,704,000
3.591%, 
7/22/2028
b
1,554,695
535,000
5.164%, 
4/20/2029
b
514,699
1,250,000
3.622%, 
4/1/2031
b
1,076,842
535,000
5.250%, 
4/21/2034
b
496,737
939,000
5.297%, 
4/20/2037
b
836,664
700,000
2.802%, 
1/25/2052
b
407,520
MPT
Operating
Partnership,
LP/
MPT
Finance
Corporation
385,000
4.625%, 
8/1/2029
272,681
Nasdaq,
Inc.
575,000
3.250%, 
4/28/2050
359,144
Nationstar
Mortgage
Holdings,
Inc.
277,000
6.000%, 
1/15/2027
f
261,744
NatWest
Group
plc
850,000
4.445%, 
5/8/2030
b
767,201
Necessity
Retail
REIT,
Inc./
American
Finance
Operating
Partner,
LP
327,000
4.500%, 
9/30/2028
f
248,383
New
York
Life
Global
Funding
812,000
4.550%, 
1/28/2033
f
744,405
NFP
Corporation
164,000
6.875%, 
8/15/2028
f
140,495
NNN
REIT,
Inc.
749,000
5.600%, 
10/15/2033
705,733
Office
Properties
Income
Trust
120,000
2.650%, 
6/15/2026
81,632
Omega
Healthcare
Investors,
Inc.
774,000
3.625%, 
10/1/2029
645,217
725,000
3.375%, 
2/1/2031
566,799
OneMain
Finance
Corporation
470,000
6.875%, 
3/15/2025
466,274
555,000
3.875%, 
9/15/2028
445,467
Park
Intermediate
Holdings,
LLC
444,000
4.875%, 
5/15/2029
f
375,602
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Financials
(3.2%)
-
continued
Pine
Street
Trust
I
$
805,000
4.572%, 
2/15/2029
f
$
724,364
PNC
Financial
Services
Group,
Inc.
748,000
5.812%, 
6/12/2026
b
742,031
1,074,000
4.626%, 
6/6/2033
b
926,505
PRA
Group,
Inc.
266,000
7.375%, 
9/1/2025
f
259,019
219,000
8.375%, 
2/1/2028
f
199,290
Principal
Life
Global
Funding
II
720,000
1.250%, 
8/16/2026
f
630,134
Prologis,
LP
536,000
2.875%, 
11/15/2029
459,718
Prudential
Financial,
Inc.
1,020,000
5.125%, 
3/1/2052
b
878,367
Radian
Group,
Inc.
270,000
4.875%, 
3/15/2027
252,281
Realty
Income
Corporation
341,000
4.125%, 
10/15/2026
326,641
Regency
Centers,
LP
1,180,000
4.125%, 
3/15/2028
1,091,944
RLJ
Lodging
Trust,
LP
140,000
3.750%, 
7/1/2026
f
126,615
295,000
4.000%, 
9/15/2029
f
241,587
Rocket
Mortgage,
LLC/Rocket
Mortgage
Co-Issuer,
Inc.
340,000
3.625%, 
3/1/2029
f
281,090
Royal
Bank
of
Canada
744,000
5.200%, 
7/20/2026
735,883
669,000
5.000%, 
5/2/2033
621,550
Santander
Holdings
USA,
Inc.
268,000
6.499%, 
3/9/2029
b
261,370
Santander
UK
Group
Holdings
plc
900,000
1.673%, 
6/14/2027
b
787,228
Service
Properties
Trust
159,000
4.650%, 
3/15/2024
156,833
90,000
4.350%, 
10/1/2024
86,337
302,000
7.500%, 
9/15/2025
296,695
290,000
5.500%, 
12/15/2027
247,844
Simon
Property
Group,
LP
805,000
3.800%, 
7/15/2050
546,727
SLM
Corporation
140,000
4.200%, 
10/29/2025
130,999
Societe
Generale
SA
840,000
4.750%, 
11/24/2025
f
803,463
Spirit
Realty,
LP
1,100,000
2.100%, 
3/15/2028
925,891
Standard
Chartered
plc
1,609,000
1.822%, 
11/23/2025
b,f
1,520,403
Sumitomo
Mitsui
Financial
Group,
Inc.
840,000
3.010%, 
10/19/2026
773,383
804,000
5.710%, 
1/13/2030
786,648
700,000
1.710%, 
1/12/2031
521,874
Synchrony
Financial
330,000
4.250%, 
8/15/2024
322,279
71,000
7.250%, 
2/2/2033
62,665
Synovus
Bank
1,049,000
5.625%, 
2/15/2028
950,469
Toronto-Dominion
Bank
804,000
5.156%, 
1/10/2028
784,697
608,000
5.523%, 
7/17/2028
600,120
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
296
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Financials
(3.2%)
-
continued
Truist
Financial
Corporation
$
519,000
6.047%, 
6/8/2027
b
$
513,355
383,000
5.125%, 
12/15/2027
b,k
294,221
699,000
5.122%, 
1/26/2034
b
624,870
U.S.
Bancorp
536,000
5.727%, 
10/21/2026
b
531,541
744,000
5.775%, 
6/12/2029
b
724,195
178,000
5.836%, 
6/12/2034
b
167,881
UBS
Group
AG
1,375,000
2.193%, 
6/5/2026
b,f
1,278,832
771,000
6.246%, 
9/22/2029
b,f
762,911
668,000
3.091%, 
5/14/2032
b,f
527,619
UDR,
Inc.
675,000
2.100%, 
8/1/2032
486,777
United
Wholesale
Mortgage,
LLC
89,000
5.500%, 
11/15/2025
f
84,655
218,000
5.500%, 
4/15/2029
f
184,210
UnitedHealth
Group,
Inc.
536,000
5.875%, 
2/15/2053
537,907
806,000
4.750%, 
5/15/2052
687,232
808,000
4.625%, 
7/15/2035
746,014
USI,
Inc./NY
112,000
6.875%, 
5/1/2025
f
111,137
Wells
Fargo
&
Company
363,000
3.000%, 
4/22/2026
338,132
1,140,000
3.000%, 
10/23/2026
1,046,968
805,000
3.526%, 
3/24/2028
b
739,291
1,200,000
2.393%, 
6/2/2028
b
1,052,363
480,000
5.574%, 
7/25/2029
b
468,284
441,000
5.389%, 
4/24/2034
b
412,294
930,000
4.900%, 
11/17/2045
745,953
Welltower
OP,
LLC
675,000
2.050%, 
1/15/2029
557,933
Willis
North
America,
Inc.
1,074,000
4.650%, 
6/15/2027
1,027,982
XHR,
LP
140,000
6.375%, 
8/15/2025
f,h
137,451
153,000
4.875%, 
6/1/2029
f
130,050
Total
130,901,562
Foreign
Government
(<0.1%)
NBN
Company,
Ltd.
1,025,000
2.625%, 
5/5/2031
f
826,103
Total
826,103
Mortgage-Backed
Securities
(9.2%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
21,645,972
2.500%, 
5/1/2051
17,274,599
7,025,191
3.500%, 
5/1/2052
6,049,618
6,813,906
4.000%, 
5/1/2052
6,115,362
19,055,691
3.500%, 
6/1/2052
16,421,431
2,673,337
5.000%, 
7/1/2053
2,530,585
894,024
5.500%, 
7/1/2053
867,433
5,077,981
3.500%, 
8/1/2052
4,394,350
4,250,000
5.500%, 
9/1/2053
4,123,570
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
5,460,876
2.500%, 
7/1/2030
4,977,641
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Mortgage-Backed
Securities
(9.2%)
-
continued
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
$
6,242,857
3.000%, 
12/1/2036
$
5,570,075
5,187,958
3.000%, 
8/1/2038
4,607,252
7,681,505
3.500%, 
5/1/2040
6,824,057
5,956,424
2.500%, 
4/1/2042
4,899,393
2,040,440
2.000%, 
5/1/2042
1,651,911
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
17,514,861
3.000%, 
1/1/2052
14,581,093
1,874,935
2.000%, 
2/1/2051
1,433,820
2,963,700
2.000%, 
2/1/2051
2,269,945
6,529,874
2.500%, 
2/1/2051
5,232,528
11,074,519
2.500%, 
2/1/2051
8,856,422
31,952,514
2.000%, 
3/1/2051
24,420,287
18,223,486
3.000%, 
3/1/2052
15,112,905
21,193,968
2.000%, 
4/1/2051
16,195,640
10,665,730
3.000%, 
4/1/2051
8,854,910
10,911,898
3.000%, 
5/1/2050
9,130,128
3,531,015
2.000%, 
5/1/2051
2,692,949
8,614,554
3.000%, 
5/1/2051
7,242,235
7,045,736
3.000%, 
6/1/2050
5,951,517
2,291,059
5.000%, 
6/1/2053
2,172,268
16,393,138
2.500%, 
7/1/2051
13,086,120
4,851,257
3.500%, 
7/1/2051
4,242,011
2,491,422
2.500%, 
8/1/2050
2,011,286
9,996,602
3.500%, 
8/1/2050
8,750,389
7,660,542
3.500%, 
9/1/2052
6,623,590
6,218,244
4.500%, 
9/1/2053
5,715,983
11,415,436
4.000%, 
10/1/2052
10,196,378
3,500,724
2.000%, 
11/1/2051
2,673,055
14,221,982
2.000%, 
12/1/2050
10,893,241
22,301,315
2.500%, 
12/1/2051
17,820,143
10,025,010
4.500%, 
12/1/2052
9,245,341
9,000,000
6.000%, 
10/1/2041
e
8,881,875
17,950,000
4.000%, 
10/1/2048
e
15,979,707
10,550,000
4.500%, 
10/1/2048
e
9,686,219
13,850,000
5.000%, 
10/1/2048
e
13,066,609
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
19,549,417
2.500%, 
3/1/2062
15,003,327
5,160,328
3.500%, 
7/1/2061
4,388,919
5,890,692
4.000%, 
12/1/2061
5,246,289
Total
373,964,406
Technology
(0.7%)
Advanced
Micro
Devices,
Inc.
537,000
4.393%, 
6/1/2052
437,458
Analog
Devices,
Inc.
1,000,000
2.950%, 
10/1/2051
624,205
Apple,
Inc.
938,000
2.650%, 
2/8/2051
568,932
1,680,000
3.750%, 
9/12/2047
1,298,570
AthenaHealth
Group,
Inc.
390,000
6.500%, 
2/15/2030
f,h
326,238
Broadcom,
Inc.
283,000
3.469%, 
4/15/2034
f
222,271
1,072,000
3.137%, 
11/15/2035
f
781,576
1,100,000
3.187%, 
11/15/2036
f
789,787
460,000
4.926%, 
5/15/2037
f
396,486
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
297
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Technology
(0.7%)
-
continued
Cloud
Software
Group,
Inc.
$
312,000
6.500%, 
3/31/2029
f
$
275,911
109,000
9.000%, 
9/30/2029
f
94,721
CommScope
Technologies,
LLC
147,000
6.000%, 
6/15/2025
f
139,937
CommScope,
Inc.
310,000
7.125%, 
7/1/2028
f,h
185,476
Dell
International,
LLC/EMC
Corporation
672,000
6.020%, 
6/15/2026
674,620
Fiserv,
Inc.
914,000
2.250%, 
6/1/2027
811,128
517,000
2.650%, 
6/1/2030
424,695
468,000
5.600%, 
3/2/2033
453,578
Gartner,
Inc.
200,000
3.625%, 
6/15/2029
f
171,095
480,000
3.750%, 
10/1/2030
f
402,818
Global
Payments,
Inc.
805,000
5.300%, 
8/15/2029
767,685
GTCR
W-2
Merger
Sub,
LLC
215,000
7.500%, 
1/15/2031
e,f
215,301
II-VI,
Inc.
131,000
5.000%, 
12/15/2029
f,h
113,582
Intel
Corporation
536,000
4.875%, 
2/10/2028
525,797
Iron
Mountain,
Inc.
250,000
5.000%, 
7/15/2028
f
227,388
540,000
4.875%, 
9/15/2029
f
473,280
300,000
5.250%, 
7/15/2030
f
262,094
440,000
4.500%, 
2/15/2031
f
361,884
KLA
Corporation
804,000
3.300%, 
3/1/2050
534,295
Marvell
Technology,
Inc.
127,000
5.950%, 
9/15/2033
124,652
Mastercard,
Inc.
566,000
3.950%, 
2/26/2048
448,134
Microsoft
Corporation
494,000
3.041%, 
3/17/2062
312,760
950,000
3.700%, 
8/8/2046
747,483
NCR
Corporation
419,000
5.125%, 
4/15/2029
f
369,164
416,000
6.125%, 
9/1/2029
f
426,619
NXP
BV/NXP
Funding,
LLC
475,000
5.550%, 
12/1/2028
464,924
NXP
BV/NXP
Funding,
LLC/NXP
USA,
Inc.
476,000
4.300%, 
6/18/2029
436,066
475,000
3.250%, 
5/11/2041
319,577
Open
Text
Corporation
185,000
3.875%, 
12/1/2029
f
152,073
545,000
4.125%, 
2/15/2030
f
455,948
Oracle
Corporation
536,000
6.900%, 
11/9/2052
552,149
1,340,000
6.150%, 
11/9/2029
1,360,306
1,400,000
3.850%, 
7/15/2036
1,106,923
1,266,000
4.000%, 
7/15/2046
893,342
PTC,
Inc.
290,000
3.625%, 
2/15/2025
f
278,699
210,000
4.000%, 
2/15/2028
f
188,213
Rackspace
Technology
Global,
Inc.
430,000
5.375%, 
12/1/2028
f
144,198
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Technology
(0.7%)
-
continued
RingCentral,
Inc.
$
276,000
8.500%, 
8/15/2030
f
$
266,616
Roper
Technologies,
Inc.
640,000
1.750%, 
2/15/2031
485,552
S&P
Global,
Inc.
127,000
5.250%, 
9/15/2033
f
123,791
Seagate
HDD
Cayman
163,000
8.500%, 
7/15/2031
f
167,203
424,780
9.625%, 
12/1/2032
f
457,718
Sensata
Technologies
BV
450,000
4.000%, 
4/15/2029
f
387,494
Sensata
Technologies,
Inc.
319,000
3.750%, 
2/15/2031
f
258,175
Shift4
Payments,
LLC/Shift4
Payments
Finance
Sub,
Inc.
150,000
4.625%, 
11/1/2026
f
141,429
SS&C
Technologies,
Inc.
880,000
5.500%, 
9/30/2027
f
830,403
Texas
Instruments,
Inc.
535,000
5.050%, 
5/18/2063
474,185
Viavi
Solutions,
Inc.
319,000
3.750%, 
10/1/2029
f
259,315
Visa,
Inc.
1,150,000
2.700%, 
4/15/2040
809,824
VMware,
Inc.
417,000
4.650%, 
5/15/2027
402,143
875,000
2.200%, 
8/15/2031
660,302
Total
27,066,188
Transportation
(0.3%)
Allegiant
Travel
Company
252,000
7.250%, 
8/15/2027
f
237,195
American
Airlines
Group,
Inc.
97,000
3.750%, 
3/1/2025
f
91,891
American
Airlines,
Inc.
556,000
11.750%, 
7/15/2025
f
597,696
200,000
7.250%, 
2/15/2028
f
191,221
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
865,333
5.500%, 
4/20/2026
f
845,139
Avis
Budget
Car
Rental,
LLC/Avis
Budget
Finance,
Inc.
173,000
5.375%, 
3/1/2029
f
153,758
Burlington
Northern
Santa
Fe,
LLC
631,000
2.875%, 
6/15/2052
388,135
503,000
5.750%, 
5/1/2040
499,341
530,000
4.450%, 
3/15/2043
442,874
Canadian
Pacific
Railway
Company
537,000
4.700%, 
5/1/2048
444,493
CSX
Corporation
720,000
3.800%, 
4/15/2050
519,681
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.
1,126,000
4.750%, 
10/20/2028
f
1,070,086
ERAC
USA
Finance,
LLC
536,000
5.400%, 
5/1/2053
f
495,294
Hawaiian
Brand
Intellectual
Property,
Ltd.
381,000
5.750%, 
1/20/2026
f
342,846
Hertz
Corporation
260,000
4.625%, 
12/1/2026
f
230,425
313,000
5.000%, 
12/1/2029
f
245,054
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
298
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Transportation
(0.3%)
-
continued
Mileage
Plus
Holdings,
LLC
$
1,005,750
6.500%, 
6/20/2027
f
$
996,498
Norfolk
Southern
Corporation
1,875,000
4.450%, 
3/1/2033
1,712,197
Penske
Truck
Leasing
Company,
LP/PTL
Finance
Corporation
788,000
5.750%, 
5/24/2026
f
776,404
Rand
Parent,
LLC
289,000
8.500%, 
2/15/2030
f,h
267,354
Southwest
Airlines
Company
723,000
2.625%, 
2/10/2030
595,671
Union
Pacific
Corporation
1,074,000
2.973%, 
9/16/2062
609,968
United
Airlines,
Inc.
307,000
4.375%, 
4/15/2026
f
283,911
256,000
4.625%, 
4/15/2029
f
220,040
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.
81,000
7.875%, 
5/1/2027
f,h
69,761
366,000
6.375%, 
2/1/2030
f
282,682
XPO
Escrow
Sub,
LLC
335,000
7.500%, 
11/15/2027
f
338,698
Total
12,948,313
U.S.
Government
&
Agencies
(13.4%)
U.S.
Treasury
Bonds
2,712,000
3.625%, 
5/15/2053
2,245,451
20,680,000
1.625%, 
11/15/2050
10,831,958
14,120,000
5.250%, 
11/15/2028
14,498,923
38,050,000
1.625%, 
8/15/2029
32,288,992
1,075,000
4.375%, 
5/15/2040
1,019,822
41,740,000
1.375%, 
11/15/2040
24,703,232
600,000
3.000%, 
5/15/2042
459,164
750,000
3.875%, 
2/15/2043
652,734
27,658,000
2.500%, 
5/15/2046
18,525,458
35,275,000
2.875%, 
5/15/2049
25,163,752
U.S.
Treasury
Notes
14,980,000
2.500%, 
1/31/2024
14,834,296
10,000,000
3.000%, 
6/30/2024
9,817,969
12,780,000
2.125%, 
7/31/2024
12,431,545
15,100,000
2.250%, 
11/15/2024
14,586,836
8,000,000
2.125%, 
11/30/2024
7,707,500
3,700,000
1.375%, 
1/31/2025
3,513,266
15,900,000
4.625%, 
2/28/2025
15,755,906
40,300,000
3.875%, 
3/31/2025
39,498,723
6,000,000
0.250%, 
8/31/2025
5,474,766
54,500,000
5.000%, 
8/31/2025
54,389,297
33,790,000
2.625%, 
1/31/2026
32,072,782
3,050,000
0.500%, 
2/28/2026
2,745,953
22,580,000
2.500%, 
2/28/2026
21,350,449
2,350,000
0.500%, 
4/30/2027
2,026,141
16,875,000
2.250%, 
11/15/2027
15,347,021
12,250,000
3.875%, 
12/31/2027
11,872,451
4,300,000
0.750%, 
1/31/2028
3,645,930
16,200,000
3.500%, 
1/31/2028
15,460,242
13,400,000
3.625%, 
3/31/2028
12,846,203
31,750,000
2.875%, 
5/15/2028
29,423,320
55,000,000
4.375%, 
8/31/2028
54,454,297
11,850,000
1.500%, 
2/15/2030
9,822,539
6,250,000
0.875%, 
11/15/2030
4,862,305
850,000
1.375%, 
11/15/2031
666,254
24,275,000
4.125%, 
11/15/2032
23,412,100
Total
548,407,577
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Utilities
(0.6%)
AES
Corporation
$
1,069,000
3.950%, 
7/15/2030
f
$
921,392
Ameren
Illinois
Company
720,000
4.500%, 
3/15/2049
593,385
American
Electric
Power
Company,
Inc.
468,000
5.625%, 
3/1/2033
452,863
Appalachian
Power
Company
560,000
3.300%, 
6/1/2027
513,610
Berkshire
Hathaway
Energy
Company
900,000
4.500%, 
2/1/2045
718,421
Calpine
Corporation
311,000
4.500%, 
2/15/2028
f
280,281
CenterPoint
Energy
Resources
Corporation
750,000
1.750%, 
10/1/2030
580,031
CenterPoint
Energy,
Inc.
225,000
4.250%, 
11/1/2028
206,875
Commonwealth
Edison
Company
800,000
3.700%, 
3/1/2045
582,631
Consolidated
Edison
Company
of
New
York,
Inc.
384,000
4.500%, 
12/1/2045
305,687
900,000
4.125%, 
5/15/2049
667,554
Constellation
Energy
Generation,
LLC
253,000
6.125%, 
1/15/2034
252,597
Consumers
Energy
Company
880,000
4.350%, 
4/15/2049
709,190
DTE
Electric
Company
760,000
3.700%, 
3/15/2045
549,050
640,000
3.700%, 
6/1/2046
456,440
Duke
Energy
Carolinas,
LLC
960,000
3.700%, 
12/1/2047
684,659
Duke
Energy
Indiana,
LLC
1,085,000
3.750%, 
5/15/2046
765,768
Edison
International
759,000
5.750%, 
6/15/2027
751,977
Eversource
Energy
669,000
4.750%, 
5/15/2026
653,968
Exelon
Corporation
575,000
4.700%, 
4/15/2050
459,547
642,000
4.450%, 
4/15/2046
500,696
FirstEnergy
Corporation
669,000
5.100%, 
7/15/2047
567,752
Georgia
Power
Company
455,000
4.950%, 
5/17/2033
426,489
ITC
Holdings
Corporation
560,000
5.300%, 
7/1/2043
482,861
Jersey
Central
Power
&
Light
Company
375,000
2.750%, 
3/1/2032
f
293,679
MidAmerican
Energy
Company
255,000
5.850%, 
9/15/2054
251,397
National
Rural
Utilities
Cooperative
Finance
Corporation
331,000
3.700%, 
3/15/2029
302,161
NextEra
Energy
Capital
Holdings,
Inc.
506,000
5.749%, 
9/1/2025
504,579
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
299
Principal
Amount
Long-Term
Fixed
Income
(37.3%)
Value
Utilities
(0.6%)
-
continued
NextEra
Energy
Operating
Partners,
LP
$
600,000
3.875%, 
10/15/2026
f
$
543,249
NiSource
Finance
Corporation
675,000
5.650%, 
2/1/2045
610,659
NRG
Energy,
Inc.
115,000
3.375%, 
2/15/2029
f
93,080
804,000
4.450%, 
6/15/2029
f
697,263
195,000
5.250%, 
6/15/2029
f
172,138
Pacific
Gas
and
Electric
Company
700,000
3.300%, 
12/1/2027
618,478
467,000
4.550%, 
7/1/2030
412,809
PacifiCorp
519,000
5.500%, 
5/15/2054
440,171
PG&E
Corporation
379,000
5.000%, 
7/1/2028
h
343,290
PPL
Electric
Utilities
Corporation
440,000
3.950%, 
6/1/2047
333,001
Public
Service
Company
of
Colorado
806,000
4.500%, 
6/1/2052
628,848
San
Diego
Gas
&
Electric
Company
900,000
4.150%, 
5/15/2048
684,056
Southern
California
Edison
Company
825,000
4.000%, 
4/1/2047
596,526
Southern
Company
1,074,000
5.113%, 
8/1/2027
1,052,483
Southern
Company
Gas
Capital
Corporation
600,000
4.400%, 
5/30/2047
453,818
Southwestern
Electric
Power
Company
542,000
3.900%, 
4/1/2045
376,369
Talen
Energy
Supply,
LLC
267,000
8.625%, 
6/1/2030
f
273,702
TerraForm
Power
Operating,
LLC
520,000
5.000%, 
1/31/2028
f
471,900
Virginia
Electric
and
Power
Company
675,000
4.600%, 
12/1/2048
545,151
Vistra
Operations
Company,
LLC
900,000
5.125%, 
5/13/2025
f
876,980
640,000
5.000%, 
7/31/2027
f
588,409
Xcel
Energy,
Inc.
604,000
4.600%, 
6/1/2032
548,101
Total
25,796,021
Total
Long-Term
Fixed
Income
(cost
$1,710,549,623)
1,520,957,057
Shares
Registered
Investment
Companies
(
36.7%
)
Value
U.S.
Affiliated  (36.2%)
18,121,915
Thrivent
Core
Emerging
Markets
Debt
Fund
134,283,391
4,105,466
Thrivent
Core
Emerging
Markets
Equity
Fund
34,157,480
3,238,469
Thrivent
Core
International
Equity
Fund
30,538,766
3,802,073
Thrivent
Core
Low
Volatility
Equity
Fund
42,583,214
4,352,231
Thrivent
Core
Mid
Cap
Value
Fund
42,260,161
Shares
Registered
Investment
Companies
(36.7%)
Value
U.S.
Affiliated  (36.2%)-
continued
4,010,082
Thrivent
Core
Small
Cap
Value
Fund
$
36,090,737
4,279,028
Thrivent
Global
Stock
Portfolio
52,798,494
23,801,416
Thrivent
High
Yield
Portfolio
94,848,643
33,588,211
Thrivent
Income
Portfolio
278,137,255
13,398,363
Thrivent
International
Allocation
Portfolio
114,593,515
1,678,136
Thrivent
International
Index
Portfolio
20,138,131
13,395,231
Thrivent
Large
Cap
Value
Portfolio
266,933,461
17,551,943
Thrivent
Limited
Maturity
Bond
Portfolio
164,958,425
5,177,400
Thrivent
Mid
Cap
Stock
Portfolio
93,333,514
4,449,627
Thrivent
Small
Cap
Stock
Portfolio
70,982,669
Total
1,476,637,856
U.S.
Unaffiliated  (0.5%)
10,873
Communication
Services
Select
Sector
SPDR
Fund
712,943
4,745
Invesco
QQQ
Trust
Series
1
h
1,699,991
428
iShares
Biotechnology
ETF
52,340
15,038
SPDR
Bloomberg
High
Yield
Bond
ETF
h
1,359,435
39,725
SPDR
S&P
500
ETF
Trust
16,981,643
14,569
SPDR
S&P
Biotech
ETF
1,063,828
1,670
SPDR
S&P
Oil
&
Gas
Exploration
ETF
247,010
Total
22,117,190
Total
Registered
Investment
Companies
(cost
$1,489,752,147)
1,498,755,046
Shares
Common
Stock
(
15.6%
)
Value
Communications
Services
(1.2%)
27,648
Alphabet,
Inc.,
Class
A
m
3,618,017
139,862
Alphabet,
Inc.,
Class
C
m
18,440,805
11,974
Altice
USA,
Inc.
m
39,155
6,204
AMC
Networks,
Inc.
m
73,083
2,477
Bumble,
Inc.
m
36,957
35
Cable
One,
Inc.
21,547
28,837
Cargurus,
Inc.
m
505,224
85,350
Comcast
Corporation
3,784,419
8,657
DISH
Network
Corporation
m
50,730
345
Electronic
Arts,
Inc.
41,538
7,220
Emerald
Holding,
Inc.
m
32,634
2,396
Entravision
Communications
Corporation
8,745
7,902
Frontier
Communications
Parent,
Inc.
m
123,666
15,093
iHeartMedia,
Inc.
m
47,694
3,994
Imax
Corporation
m
77,164
11,597
Integral
Ad
Science
Holding
Corporation
m
137,888
3,077
Interpublic
Group
of
Companies,
Inc.
88,187
9,804
Liberty
Global
plc,
Class
A
m
167,845
23,659
Liberty
Global
plc,
Class
C
m
439,111
7,460
Liberty
Latin
America,
Ltd.,
Class
A
m
60,874
2,339
Live
Nation
Entertainment,
Inc.
m
194,231
81,103
Lumen
Technologies,
Inc.
h,m
115,166
1,747
Match
Group,
Inc.
m
68,439
35,287
Meta
Platforms,
Inc.
m
10,593,510
6,178
Netflix,
Inc.
m
2,332,813
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
300
Shares
Common
Stock
(15.6%)
Value
Communications
Services
(1.2%)
-
continued
571
Omnicom
Group,
Inc.
$
42,528
47,638
QuinStreet,
Inc.
m
427,313
599
Shutterstock,
Inc.
22,792
2,779
Sinclair,
Inc.
31,180
2,071
TechTarget,
Inc.
m
62,876
4,777
Telephone
and
Data
Systems,
Inc.
87,467
14,356
Trade
Desk,
Inc.
m
1,121,921
1,143
Tripadvisor,
Inc.
m
18,951
128,794
Verizon
Communications,
Inc.
4,174,214
20,620
Walt
Disney
Company
m
1,671,251
57,112
Warner
Brothers
Discovery,
Inc.
m
620,236
6,476
Windstream
Services,
LLC
m
61,522
166
Yelp,
Inc.
m
6,904
19,336
Ziff
Davis,
Inc.
m
1,231,510
Total
50,680,107
Consumer
Discretionary
(1.8%)
4,819
2U,
Inc.
m
11,903
126
Adient
plc
m
4,624
138,297
Amazon.com,
Inc.
m
17,580,315
921
American
Axle
&
Manufacturing
Holdings,
Inc.
m
6,686
12,540
American
Eagle
Outfitters,
Inc.
208,289
32,973
Aptiv
plc
m
3,250,808
5,299
Autoliv,
Inc.
511,248
62
AutoNation,
Inc.
m
9,387
1,399
Beazer
Homes
USA,
Inc.
m
34,849
1,222
Best
Buy
Company,
Inc.
84,892
905
Booking
Holdings,
Inc.
m
2,790,975
6,319
Boot
Barn
Holdings,
Inc.
m
513,040
1,265
Brunswick
Corporation
99,935
3,005
Buckle,
Inc.
100,337
1,541
Cedar
Fair,
LP
57,017
97
Cheesecake
Factory,
Inc.
2,939
615
Chegg,
Inc.
m
5,486
935
Chipotle
Mexican
Grill,
Inc.
m
1,712,761
49,080
Clarus
Corporation
371,045
5,517
Columbia
Sportswear
Company
408,810
4,241
Container
Store
Group,
Inc.
m
9,542
3,851
Cooper-Standard
Holdings,
Inc.
m
51,680
1,206
Crocs,
Inc.
m
106,405
1,625
Culp,
Inc.
m
9,067
6,909
D.R.
Horton,
Inc.
742,510
12,048
Dana,
Inc.
176,744
1,606
Darden
Restaurants,
Inc.
230,011
2,196
Deckers
Outdoor
Corporation
m
1,128,942
6,026
Domino's
Pizza,
Inc.
2,282,589
403
Dorman
Products,
Inc.
m
30,531
3,373
eBay,
Inc.
148,716
1,659
Etsy,
Inc.
m
107,138
62,108
Everi
Holdings,
Inc.
m
821,068
816
Expedia
Group,
Inc.
m
84,105
11,285
Five
Below,
Inc.
m
1,815,756
2,791
Ford
Motor
Company
34,664
14,049
Fox
Factory
Holding
Corporation
m
1,391,975
11,045
Gap,
Inc.
117,408
32,206
General
Motors
Company
1,061,832
6,859
Gentex
Corporation
223,192
7,114
Goodyear
Tire
&
Rubber
Company
m
88,427
342
Grand
Canyon
Education,
Inc.
m
39,973
2,245
Green
Brick
Partners,
Inc.
m
93,190
8,977
Harley-Davidson,
Inc.
296,780
11,009
Hilton
Worldwide
Holdings,
Inc.
1,653,332
23,012
Home
Depot,
Inc.
6,953,306
Shares
Common
Stock
(15.6%)
Value
Consumer
Discretionary
(1.8%)
-
continued
199
Hyatt
Hotels
Corporation
$
21,110
817
KB
Home
37,811
12,606
Laureate
Education,
Inc.
177,745
1,764
La-Z-Boy,
Inc.
54,472
3,436
Lear
Corporation
461,111
1,009
Lennar
Corporation
113,240
7,473
Lowe's
Companies,
Inc.
1,553,188
2,688
Lululemon
Athletica,
Inc.
m
1,036,520
1,159
M/I
Homes,
Inc.
m
97,402
124
Malibu
Boats,
Inc.
m
6,078
964
Marriott
International,
Inc./MD
189,484
120
Marriott
Vacations
Worldwide
Corporation
12,076
6,455
McDonald's
Corporation
1,700,505
3,041
Meritage
Homes
Corporation
372,188
4,326
MGM
Resorts
International
159,024
367
Modine
Manufacturing
Company
m
16,790
5,134
Mohawk
Industries,
Inc.
m
440,549
9,592
Nordstrom,
Inc.
h
143,304
225
NVR,
Inc.
m
1,341,743
1,208
ODP
Corporation
m
55,749
2,841
O'Reilly
Automotive,
Inc.
m
2,582,071
8,343
Papa
John's
International,
Inc.
569,159
2,304
PENN
Entertainment,
Inc.
m
52,877
3,122
Playa
Hotels
and
Resorts
NV
m
22,603
2,863
Polaris,
Inc.
298,153
2,991
Pool
Corporation
1,065,095
1,320
PulteGroup,
Inc.
97,746
34,133
Qurate
Retail,
Inc.
m
20,705
2,983
Ross
Stores,
Inc.
336,930
5,074
SeaWorld
Entertainment,
Inc.
m
234,673
1,045
Six
Flags
Entertainment
Corporation
m
24,568
6,847
Skyline
Champion
Corporation
m
436,291
2,127
Sonos,
Inc.
m
27,460
11,064
Sony
Group
Corporation
ADR
911,784
26,912
Stoneridge,
Inc.
m
540,124
428
Taylor
Morrison
Home
Corporation
m
18,237
31,695
Tesla,
Inc.
m
7,930,723
39,077
ThredUp,
Inc.
m
156,699
303
TopBuild
Corporation
m
76,235
7,944
Travel
+
Leisure
Company
291,783
8
Ulta
Beauty,
Inc.
m
3,196
3,938
Upbound
Group,
Inc.
115,974
3,929
Urban
Outfitters,
Inc.
m
128,439
100
Vail
Resorts,
Inc.
22,189
248
Visteon
Corporation
m
34,241
8,704
Wendy's
Company
177,649
2,366
Wingstop,
Inc.
425,501
10,778
Wyndham
Hotels
&
Resorts,
Inc.
749,502
Total
72,804,925
Consumer
Staples
(0.8%)
27,757
Altria
Group,
Inc.
1,167,182
4,733
Archer-Daniels-Midland
Company
356,963
25,318
BJ's
Wholesale
Club
Holdings,
Inc.
m
1,806,946
339
Boston
Beer
Company,
Inc.
m
132,051
874
Cal-Maine
Foods,
Inc.
42,319
4,950
Casey's
General
Stores,
Inc.
1,344,024
9,708
Celsius
Holdings,
Inc.
m
1,665,893
58,424
Coca-Cola
Company
3,270,575
19,378
Colgate-Palmolive
Company
1,377,970
70,951
Coty,
Inc.
m
778,332
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
301
Shares
Common
Stock
(15.6%)
Value
Consumer
Staples
(0.8%)
-
continued
862
Darling
Ingredients,
Inc.
m
$
44,996
7,888
e.l.f.
Beauty,
Inc.
m
866,339
8,056
Flowers
Foods,
Inc.
178,682
678
Hain
Celestial
Group,
Inc.
m
7,031
149
Hershey
Company
29,812
3,515
Hormel
Foods
Corporation
133,675
666
Ingredion,
Inc.
65,534
3,045
J
&
J
Snack
Foods
Corporation
498,314
701
John
B.
Sanfilippo
&
Son,
Inc.
69,259
27,077
Kenvue,
Inc.
543,706
17,743
Kimberly-Clark
Corporation
2,144,242
2,636
Kroger
Company
117,961
10,201
Lamb
Weston
Holdings,
Inc.
943,184
7,559
Lancaster
Colony
Corporation
1,247,462
20,748
Mondelez
International,
Inc.
1,439,911
541
PepsiCo,
Inc.
91,667
17,896
Philip
Morris
International,
Inc.
1,656,812
2,293
Pilgrim's
Pride
Corporation
m
52,349
366
PriceSmart,
Inc.
27,241
4,925
Primo
Water
Corporation
67,965
9,436
Procter
&
Gamble
Company
1,376,335
55
Seneca
Foods
Corporation
m
2,961
2,094
Simply
Good
Foods
Company
m
72,285
937
SpartanNash
Company
20,614
13,715
Sysco
Corporation
905,876
21,120
Turning
Point
Brands,
Inc.
487,661
2,027
Tyson
Foods,
Inc.
102,343
36,290
US
Foods
Holding
Corporation
m
1,440,713
29,328
Walmart,
Inc.
4,690,427
Total
31,267,612
Energy
(0.6%)
5,990
APA
Corporation
246,189
21,502
BP
plc
ADR
832,557
1,111
Cactus,
Inc.
55,783
1,441
California
Resources
Corporation
80,710
3,516
Cheniere
Energy,
Inc.
583,515
1,366
Chesapeake
Energy
Corporation
117,790
11,042
Chevron
Corporation
1,861,902
745
Chord
Energy
Corporation
120,742
141
Civitas
Resources,
Inc.
11,403
687
Comstock
Resources,
Inc.
7,578
14,223
ConocoPhillips
1,703,915
1,267
CVR
Energy,
Inc.
43,116
14,316
Devon
Energy
Corporation
682,873
42,786
Enterprise
Products
Partners,
LP
1,171,053
896
Evolution
Petroleum
Corporation
6,129
30,029
Exxon
Mobil
Corporation
3,530,810
2,223
Gran
Tierra
Energy,
Inc.
m
15,428
68,412
Halliburton
Company
2,770,686
1,260
Helmerich
&
Payne,
Inc.
53,122
2,826
HF
Sinclair
Corporation
160,884
5,828
International
Seaways,
Inc.
262,260
19,962
Liberty
Energy,
Inc.
369,696
3,038
Magnolia
Oil
&
Gas
Corporation
69,601
3,625
Marathon
Oil
Corporation
96,969
18,048
Marathon
Petroleum
Corporation
2,731,384
18,316
Matador
Resources
Company
1,089,436
4,158
Murphy
Oil
Corporation
188,565
16,904
NOV,
Inc.
353,294
624
ONEOK,
Inc.
39,580
4,171
Ovintiv,
Inc.
198,414
7,051
Par
Pacific
Holdings,
Inc.
m
253,413
1,902
Patterson-UTI
Energy,
Inc.
26,324
3,571
PBF
Energy,
Inc.
191,156
Shares
Common
Stock
(15.6%)
Value
Energy
(0.6%)
-
continued
5,095
Phillips
66
$
612,164
13,015
Pioneer
Natural
Resources
Company
2,987,593
22,403
ProPetro
Holding
Corporation
m
238,144
9,990
RPC,
Inc.
89,311
5,971
SM
Energy
Company
236,750
1,240
Solaris
Oilfield
Infrastructure,
Inc.
13,218
14,382
Talos
Energy,
Inc.
m
236,440
93,655
TechnipFMC
plc
1,904,943
6,853
U.S.
Silica
Holdings,
Inc.
m
96,216
11,704
Viper
Energy
Partners,
LP
326,308
3,800
Williams
Companies,
Inc.
128,022
Total
26,795,386
Financials
(2.2%)
6,951
Allstate
Corporation
774,411
6,647
Ally
Financial,
Inc.
177,342
4,159
Amalgamated
Financial
Corporation
71,618
1,475
Amerant
Bancorp,
Inc.
25,724
23,732
American
Express
Company
3,540,577
1,206
American
Financial
Group,
Inc.
134,674
15,745
American
International
Group,
Inc.
954,147
6,308
Ameriprise
Financial,
Inc.
2,079,621
450
Ameris
Bancorp
17,275
4,959
Annaly
Capital
Management,
Inc.
93,279
52
Apollo
Global
Management,
Inc.
4,668
2,500
Arch
Capital
Group,
Ltd.
m
199,275
5,940
Arthur
J.
Gallagher
&
Company
1,353,904
2,128
Artisan
Partners
Asset
Management,
Inc.
79,630
6,245
Associated
Banc-Corp
106,852
592
Assurant,
Inc.
84,999
1,477
Assured
Guaranty,
Ltd.
89,388
321
Atlantic
Union
Bankshares
Corporation
9,238
565
Axis
Capital
Holdings,
Ltd.
31,849
229
Axos
Financial,
Inc.
m
8,670
5,344
Banc
of
California,
Inc.
66,159
71,274
Bank
of
America
Corporation
1,951,482
798
Bank
of
Hawaii
Corporation
39,653
3,476
Bank
of
Marin
Bancorp
63,541
1,612
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
43,653
31,668
Bank
of
New
York
Mellon
Corporation
1,350,640
1,370
Bank
OZK
50,786
1,579
BankFinancial
Corporation
13,611
3,746
BankUnited,
Inc.
85,034
2,656
Banner
Corporation
112,561
507
BayCom
Corporation
9,739
2,968
BCB
Bancorp,
Inc.
33,064
8,576
Berkshire
Hathaway,
Inc.
m
3,004,173
3,427
Berkshire
Hills
Bancorp,
Inc.
68,711
1,447
BlackRock,
Inc.
935,471
1,604
Block,
Inc.
m
70,993
189
BOK
Financial
Corporation
15,116
3,798
Bridgewater
Bancshares,
Inc.
m
36,005
2,976
Brighthouse
Financial,
Inc.
m
145,645
4,943
Brookline
Bancorp,
Inc.
45,031
2,292
Business
First
Bancshares,
Inc.
42,998
1,023
Byline
Bancorp,
Inc.
20,163
2,405
Cadence
Bank
51,034
6,641
Capital
One
Financial
Corporation
644,509
12,935
Carlyle
Group,
Inc.
390,120
422
Cathay
General
Bancorp
14,669
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
302
Shares
Common
Stock
(15.6%)
Value
Financials
(2.2%)
-
continued
14,514
Central
Pacific
Financial
Corporation
$
242,094
272
Central
Valley
Community
Bancorp
3,838
21,500
Charles
Schwab
Corporation
1,180,350
12,488
Chubb,
Ltd.
2,599,752
9,780
Cincinnati
Financial
Corporation
1,000,396
12,063
Citigroup,
Inc.
496,151
11,649
Citizens
Financial
Group,
Inc.
312,193
2,519
CNB
Financial
Corporation
45,619
7,602
Columbia
Banking
System,
Inc.
154,321
20,330
Comerica,
Inc.
844,712
1,889
Commerce
Bancshares,
Inc.
90,634
353
Community
Bank
System,
Inc.
14,900
5,591
Community
Trust
Bancorp,
Inc.
191,548
2,209
ConnectOne
Bancorp,
Inc.
39,386
980
CrossFirst
Bankshares,
Inc.
m
9,888
999
Cullen/Frost
Bankers,
Inc.
91,119
2,058
Customers
Bancorp,
Inc.
m
70,898
1,406
CVB
Financial
Corporation
23,297
7,352
Dime
Community
Bancshares,
Inc.
146,746
6,085
Discover
Financial
Services
527,144
5,879
Eagle
Bancorp,
Inc.
126,105
3,418
East
West
Bancorp,
Inc.
180,163
929
Eastern
Bankshares,
Inc.
11,650
6,566
Ellington
Residential
Mortgage
REIT
40,775
1,229
Employers
Holdings,
Inc.
49,099
2,297
Enova
International,
Inc.
m
116,848
2,123
Enterprise
Financial
Services
Corporation
79,613
1,210
Equity
Bancshares,
Inc.
29,125
736
Euronet
Worldwide,
Inc.
m
58,424
123
EVERTEC,
Inc.
4,573
4,755
F.N.B.
Corporation
51,306
4,850
FactSet
Research
Systems,
Inc.
2,120,711
15,312
Federated
Hermes,
Inc.
518,617
2,854
Fidelity
National
Information
Services,
Inc.
157,741
2,124
Fifth
Third
Bancorp
53,801
3,837
Financial
Institutions,
Inc.
64,577
1,760
First
Bancorp/Puerto
Rico
23,690
57
First
Citizens
BancShares,
Inc./NC
78,666
820
First
Commonwealth
Financial
Corporation
10,012
220
First
Financial
Bancorp
4,312
1,521
First
Financial
Bankshares,
Inc.
38,208
1,589
First
Financial
Corporation
53,724
7,303
First
Foundation,
Inc.
44,402
681
First
Hawaiian,
Inc.
12,292
20,432
First
Horizon
Corporation
225,161
1,526
First
Internet
Bancorp
24,736
400
First
Interstate
BancSystem,
Inc.
9,976
1,164
First
Merchants
Corporation
32,382
831
First
Mid-Illinois
Bancshares,
Inc.
22,071
3,161
First
of
Long
Island
Corporation
36,383
5,736
Fiserv,
Inc.
m
647,939
225
Five
Star
Bancorp
4,514
834
FleetCor
Technologies,
Inc.
m
212,954
4,292
Flushing
Financial
Corporation
56,354
7,559
Fulton
Financial
Corporation
91,539
8,235
Genworth
Financial,
Inc.
m
48,257
3,520
Glacier
Bancorp,
Inc.
100,320
948
Global
Life,
Inc.
103,076
2,716
Global
Payments,
Inc.
313,399
3,538
Great
Southern
Bancorp,
Inc.
169,541
Shares
Common
Stock
(15.6%)
Value
Financials
(2.2%)
-
continued
2,147
Green
Dot
Corporation
m
$
29,908
6,465
Hamilton
Lane,
Inc.
584,695
869
Hancock
Whitney
Corporation
32,144
14,482
Hanmi
Financial
Corporation
235,043
1,733
Hanover
Insurance
Group,
Inc.
192,328
3,068
Hartford
Financial
Services
Group,
Inc.
217,552
10,638
Heartland
Financial
USA,
Inc.
313,076
10,405
Heritage
Commerce
Corporation
88,130
8,116
Heritage
Financial
Corporation
132,372
2,580
Home
BancShares,
Inc.
54,025
5,031
HomeStreet,
Inc.
h
39,191
4,851
Hometrust
Bancshares,
Inc.
105,121
30,352
Hope
Bancorp,
Inc.
268,615
5,344
Horizon
Bancorp,
Inc.
57,074
12,041
Houlihan
Lokey,
Inc.
1,289,832
9,116
Huntington
Bancshares,
Inc.
94,806
1,598
Independent
Bank
Corporation
78,446
4,432
Independent
Bank
Corporation/MI
81,283
42,063
Intercontinental
Exchange,
Inc.
4,627,771
348
International
Bancshares
Corporation
15,082
7,354
Invesco
Mortgage
Capital,
Inc.
73,614
10,777
Invesco,
Ltd.
156,482
39,140
J.P.
Morgan
Chase
&
Company
5,676,083
515
Jack
Henry
&
Associates,
Inc.
77,837
17,444
Janus
Henderson
Group
plc
450,404
2,532
Kearny
Financial
Corporation/MD
17,547
5,968
KeyCorp
64,216
8,889
Kinsale
Capital
Group,
Inc.
3,681,202
2,776
Lazard,
Ltd.
86,084
2,511
Loews
Corporation
158,971
6,710
M&T
Bank
Corporation
848,480
1,413
Marsh
&
McLennan
Companies,
Inc.
268,894
20,774
Mastercard,
Inc.
8,224,634
723
Mercantile
Bank
Corporation
22,348
13,081
MetLife,
Inc.
822,926
4,303
Metropolitan
Bank
Holding
Corporation
m
156,113
10,989
MFA
Financial,
Inc.
105,604
52,147
MGIC
Investment
Corporation
870,333
593
Mid
Penn
Bancorp,
Inc.
11,937
4,081
Midland
States
Bancorp,
Inc.
83,824
8,447
MidWestOne
Financial
Group,
Inc.
171,728
7,354
Morgan
Stanley
600,601
7,548
Mr.
Cooper
Group,
Inc.
m
404,271
3,619
MSCI,
Inc.
1,856,837
478
MVB
Financial
Corporation
10,793
28,996
Nasdaq,
Inc.
1,408,916
6,418
Navient
Corporation
110,518
13,810
New
York
Community
Bancorp,
Inc.
156,605
16,556
NMI
Holdings,
Inc.
m
448,502
187
Northrim
BanCorp,
Inc.
7,409
22,420
NU
Holdings,
Ltd./Cayman
Islands
m
162,545
4,666
OceanFirst
Financial
Corporation
67,517
2,096
OFG
Bancorp
62,587
3,778
Old
National
Bancorp
54,932
3,307
Old
Republic
International
Corporation
89,091
1,726
Old
Second
Bancorp,
Inc.
23,491
9,081
OneMain
Holdings,
Inc.
364,057
502
Pacific
Premier
Bancorp,
Inc.
10,924
73,627
PayPal
Holdings,
Inc.
m
4,304,234
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
303
Shares
Common
Stock
(15.6%)
Value
Financials
(2.2%)
-
continued
986
PCB
Bancorp
$
15,234
789
PennyMac
Financial
Services,
Inc.
52,547
1,120
Pinnacle
Financial
Partners,
Inc.
75,085
434
PNC
Financial
Services
Group,
Inc.
53,282
2,474
Popular,
Inc.
155,887
3,532
Premier
Financial
Corporation
60,256
299
PROG
Holdings,
Inc.
m
9,930
1,440
Prosperity
Bancshares,
Inc.
78,595
2,644
Provident
Financial
Services,
Inc.
40,427
1,714
Prudential
Financial,
Inc.
162,641
10,385
Radian
Group,
Inc.
260,767
26,472
Raymond
James
Financial,
Inc.
2,658,583
2,786
Regions
Financial
Corporation
47,919
39
Reinsurance
Group
of
America,
Inc.
5,662
49,625
Rithm
Capital
Corporation
461,016
6,157
RLI
Corporation
836,675
846
S&T
Bancorp,
Inc.
22,910
3,149
Sandy
Spring
Bancorp,
Inc.
67,483
13,889
SEI
Investments
Company
836,534
2,088
Shore
Bancshares,
Inc.
21,966
611
Simmons
First
National
Corporation
10,363
458
SmartFinancial,
Inc.
9,787
260
Southern
First
Bancshares,
Inc.
m
7,004
1,187
SouthState
Corporation
79,956
2,944
Synchrony
Financial
89,998
5,203
Synovus
Financial
Corporation
144,643
1,326
T.
Rowe
Price
Group,
Inc.
139,058
1,557
Territorial
Bancorp,
Inc.
14,153
6,361
TPG,
Inc.
191,593
11,821
Tradeweb
Markets,
Inc.
948,044
13,618
Triumph
Financial,
Inc.
m
882,310
3,355
TrustCo
Bank
Corporation
NY
91,558
3,485
Trustmark
Corporation
75,729
8,121
Two
Harbors
Investment
Corporation
107,522
1,882
U.S.
Bancorp
62,219
825
UMB
Financial
Corporation
51,191
1,746
United
Bankshares,
Inc.
48,172
1,187
United
Community
Banks,
Inc.
30,162
3,246
Univest
Financial
Corporation
56,415
11,145
Unum
Group
548,223
8,133
Valley
National
Bancorp
69,618
5,598
Veritex
Holdings,
Inc.
100,484
12,199
Virtu
Financial,
Inc.
210,677
1,626
Visa,
Inc.
373,996
1,824
Voya
Financial,
Inc.
121,205
1,650
W.R.
Berkley
Corporation
104,758
604
Walker
&
Dunlop,
Inc.
44,841
3,369
Washington
Federal,
Inc.
86,314
79
Webster
Financial
Corporation
3,184
57,024
Wells
Fargo
&
Company
2,330,001
1,768
Westamerica
Bancorporation
76,466
26,779
Western
Alliance
Bancorp
1,231,031
42,555
Western
Union
Company
560,875
643
WEX,
Inc.
m
120,942
101
Willis
Towers
Watson
plc
21,105
913
Wintrust
Financial
Corporation
68,932
277
WSFS
Financial
Corporation
10,111
8,373
Zions
Bancorp
NA
292,134
Total
89,301,482
Shares
Common
Stock
(15.6%)
Value
Health
Care
(2.1%)
24,730
Abbott
Laboratories
$
2,395,100
910
ACADIA
Pharmaceuticals,
Inc.
m
18,964
10,884
Agilent
Technologies,
Inc.
1,217,049
664
Agiliti,
Inc.
m
4,309
2,395
Agios
Pharmaceuticals,
Inc.
m
59,276
5,280
Aldeyra
Therapeutics,
Inc.
m
35,270
516
Align
Technology,
Inc.
m
157,545
14,476
Alkermes
plc
m
405,473
114
Alnylam
Pharmaceuticals,
Inc.
m
20,189
9,286
Amgen,
Inc.
2,495,705
3,654
Amicus
Therapeutics,
Inc.
m
44,433
1,557
Amphastar
Pharmaceuticals,
Inc.
m
71,606
1,591
Anika
Therapeutics,
Inc.
m
29,640
5,547
Apellis
Pharmaceuticals,
Inc.
m
211,008
3,520
Argenx
SE
ADR
m
1,730,538
5,827
Ascendis
Pharma
AS
ADR
m
545,640
7,191
AstraZeneca
plc
ADR
486,975
1,704
Avanos
Medical,
Inc.
m
34,455
70,283
Avantor,
Inc.
m
1,481,566
8,155
Azenta,
Inc.
m
409,299
34,646
Baxter
International,
Inc.
1,307,540
3,900
Biogen,
Inc.
m
1,002,339
156
BioMarin
Pharmaceutical,
Inc.
m
13,803
199
Bio-Rad
Laboratories,
Inc.
m
71,332
20,000
Bio-Techne
Corporation
1,361,400
460
Blueprint
Medicines
Corporation
m
23,101
1,400
Bruker
Corporation
87,220
967
Cardinal
Health,
Inc.
83,955
421
Cencora,
Inc.
75,767
2,579
Centene
Corporation
m
177,642
1,777
Charles
River
Laboratories
International,
Inc.
m
348,256
4,178
Cigna
Group
1,195,200
2,834
Codexis,
Inc.
m
5,356
4,217
Community
Health
Systems,
Inc.
m
12,229
3,279
Cooper
Companies,
Inc.
1,042,755
16,336
CVS
Health
Corporation
1,140,580
18,038
Danaher
Corporation
4,475,228
4,642
Deciphera
Pharmaceuticals,
Inc.
m
59,046
21,251
Dentsply
Sirona,
Inc.
725,934
11,673
Dexcom,
Inc.
m
1,089,091
9,706
Dynavax
Technologies
Corporation
m
143,358
14,696
Edwards
Lifesciences
Corporation
m
1,018,139
68,247
Elanco
Animal
Health,
Inc.
m
767,096
2,835
Elevance
Health,
Inc.
1,234,416
1,161
Eli
Lilly
&
Company
623,608
915
Enanta
Pharmaceuticals,
Inc.
m
10,221
14,775
Enovis
Corporation
m
779,086
4,961
Exelixis,
Inc.
m
108,398
15,366
Gilead
Sciences,
Inc.
1,151,528
2,667
Globus
Medical,
Inc.
m
132,417
4,920
GoodRx
Holdings,
Inc.
m
27,700
15,249
Halozyme
Therapeutics,
Inc.
m
582,512
3,071
HCA
Healthcare,
Inc.
755,405
7,505
Hologic,
Inc.
m
520,847
3,260
ICON
plc
m
802,775
91
IDEXX
Laboratories,
Inc.
m
39,792
10,925
Immunocore
Holdings
plc
ADR
m
567,007
13,973
Inmode,
Ltd.
m
425,618
1,878
Inspire
Medical
Systems,
Inc.
m
372,670
9,120
Intuitive
Surgical,
Inc.
m
2,665,685
679
IQVIA
Holding,
Inc.
m
133,593
1,392
Jazz
Pharmaceuticals,
Inc.
m
180,180
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
304
Shares
Common
Stock
(15.6%)
Value
Health
Care
(2.1%)
-
continued
9,920
Johnson
&
Johnson
$
1,545,040
283
Kiniksa
Pharmaceuticals,
Ltd.
m
4,916
2,114
Kura
Oncology,
Inc.
m
19,280
13,367
Laboratory
Corporation
of
America
Holdings
2,687,435
10,836
Lantheus
Holdings,
Inc.
m
752,885
68
Ligand
Pharmaceuticals,
Inc.
m
4,075
984
LivaNova
plc
m
52,034
110,363
Maravai
LifeSciences
Holdings,
Inc.
m
1,103,630
317
Masimo
Corporation
m
27,795
32
Medpace
Holdings,
Inc.
m
7,748
56,476
Medtronic
plc
4,425,459
35,774
Merck
&
Company,
Inc.
3,682,933
6,998
Molina
Healthcare,
Inc.
m
2,294,574
2,220
Myriad
Genetics,
Inc.
m
35,609
6,652
Natera,
Inc.
m
294,351
2,032
National
HealthCare
Corporation
130,007
25,632
Novo
Nordisk
AS
ADR
m
2,330,974
2,136
OraSure
Technologies,
Inc.
m
12,666
2,639
Pacira
Pharmaceuticals,
Inc.
m
80,965
2,841
Pediatrix
Medical
Group,
Inc.
m
36,109
38,820
Pfizer,
Inc.
1,287,659
16,820
Phreesia,
Inc.
m
314,198
25,357
Point
Biopharma
Global,
Inc.
m
169,131
47,372
Progyny,
Inc.
m
1,611,595
3,011
Qiagen
NV
m
121,946
551
QuidelOrtho
Corporation
m
40,245
53,828
R1
RCM,
Inc.
m
811,188
8,497
Repligen
Corporation
m
1,351,108
3,799
Revance
Therapeutics,
Inc.
m
43,575
4,407
Rocket
Pharmaceuticals,
Inc.
m
90,299
1,461
Royalty
Pharma
plc
39,652
5,224
Sarepta
Therapeutics,
Inc.
m
633,253
33,875
scPharmaceuticals,
Inc.
m
241,190
2,005
Sensus
Healthcare,
Inc.
m
5,554
5,051
ShockWave
Medical,
Inc.
m
1,005,654
751
Teleflex,
Inc.
147,504
3,597
TG
Therapeutics,
Inc.
m
30,071
4,700
Thermo
Fisher
Scientific,
Inc.
2,378,999
13,389
UnitedHealth
Group,
Inc.
6,750,600
1,681
Vanda
Pharmaceuticals,
Inc.
m
7,262
7,526
Veeva
Systems,
Inc.
m
1,531,165
6,225
Veracyte,
Inc.
m
139,004
16,493
Vericel
Corporation
m
552,845
1,605
Vertex
Pharmaceuticals,
Inc.
m
558,123
4,713
Viemed
Healthcare,
Inc.
m
31,718
4,864
Vor
BioPharma,
Inc.
h,m
10,312
4,355
Waters
Corporation
m
1,194,185
857
West
Pharmaceutical
Services,
Inc.
321,555
1,615
Zentalis
Pharmaceuticals,
Inc.
m
32,397
7,971
Zimmer
Biomet
Holdings,
Inc.
894,506
32,828
Zoetis,
Inc.
5,711,415
Total
86,780,258
Industrials
(1.8%)
2,593
A.O.
Smith
Corporation
171,475
1,170
Acuity
Brands,
Inc.
199,263
11,624
Advanced
Drainage
Systems,
Inc.
1,323,160
3,621
AGCO
Corporation
428,292
8,928
Air
Lease
Corporation
351,852
9,788
Alaska
Air
Group,
Inc.
m
362,939
544
American
Woodmark
Corporation
m
41,132
12,834
AMETEK,
Inc.
1,896,352
Shares
Common
Stock
(15.6%)
Value
Industrials
(1.8%)
-
continued
439
Apogee
Enterprises,
Inc.
$
20,668
5,165
Armstrong
World
Industries,
Inc.
371,880
19,319
ASGN,
Inc.
m
1,577,976
8,092
Automatic
Data
Processing,
Inc.
1,946,773
364
Axon
Enterprise,
Inc.
m
72,432
1,809
AZZ,
Inc.
82,454
22,822
Badger
Infrastructure
Solutions,
Ltd.
582,879
1,914
Barnes
Group,
Inc.
65,019
5,170
Beacon
Roofing
Supply,
Inc.
m
398,969
1,729
Boise
Cascade
Company
178,156
2,269
Builders
FirstSource,
Inc.
m
282,468
5,865
Carlisle
Companies,
Inc.
1,520,560
763
Caterpillar,
Inc.
208,299
8,002
Chart
Industries,
Inc.
m
1,353,298
1,057
Cimpress
plc
m
74,001
1,141
Cintas
Corporation
548,832
57,354
CNH
Industrial
NV
693,983
156
Columbus
McKinnon
Corporation
5,446
10,705
Conduent
Incorporated
m
37,253
1,187
CSW
Industrials,
Inc.
208,010
74,449
CSX
Corporation
2,289,307
7,080
Cummins,
Inc.
1,617,497
2,283
Curtiss-Wright
Corporation
446,623
1,167
Daseke,
Inc.
m
5,987
2,854
Deere
&
Company
1,077,043
22,645
Delta
Air
Lines,
Inc.
837,865
2,274
Donaldson
Company,
Inc.
135,621
24
Dover
Corporation
3,348
2,949
EMCOR
Group,
Inc.
620,440
182
Equifax,
Inc.
33,339
51,956
ExlService
Holdings,
Inc.
m
1,456,846
1,435
Expeditors
International
of
Washington,
Inc.
164,494
51,686
Fastenal
Company
2,824,123
10,790
Ferguson
plc
1,774,631
25,217
First
Advantage
Corporation
347,742
15,913
Flowserve
Corporation
632,860
1,943
Fluor
Corporation
m
71,308
607
Forrester
Research,
Inc.
m
17,542
3,880
Fortune
Brands
Innovations,
Inc.
241,181
2,065
Gates
Industrial
Corporation
plc
m
23,975
4,963
General
Dynamics
Corporation
1,096,674
2,305
Gibraltar
Industries,
Inc.
m
155,611
67
GMS,
Inc.
m
4,286
485
Gorman-Rupp
Company
15,956
1,461
Greenbrier
Companies,
Inc.
58,440
742
Griffon
Corporation
29,435
170
Heidrick
&
Struggles
International,
Inc.
4,253
9,225
Helios
Technologies,
Inc.
511,803
1,361
Herc
Holdings,
Inc.
161,877
4,333
Hillman
Solutions
Corporation
m
35,747
3,574
Honeywell
International,
Inc.
660,261
77,943
Howmet
Aerospace,
Inc.
3,604,864
1,455
Hubbell,
Inc.
456,012
1,270
IDEX
Corporation
264,185
555
Ingersoll
Rand,
Inc.
35,365
2,021
Interface,
Inc.
19,826
59,767
Janus
International
Group,
Inc.
m
639,507
2,742
JB
Hunt
Transport
Services,
Inc.
516,922
10,652
JetBlue
Airways
Corporation
m
48,999
8,865
Johnson
Controls
International
plc
471,707
3,493
Kennametal,
Inc.
86,906
5,221
L3Harris
Technologies,
Inc.
909,081
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
305
Shares
Common
Stock
(15.6%)
Value
Industrials
(1.8%)
-
continued
5,095
Lincoln
Electric
Holdings,
Inc.
$
926,220
1,122
ManpowerGroup,
Inc.
82,265
10,637
Masco
Corporation
568,548
8,426
Masterbrand,
Inc.
m
102,376
1,360
Matson,
Inc.
120,659
1,070
Maximus,
Inc.
79,908
11,571
Middleby
Corporation
m
1,481,088
1,490
Miller
Industries,
Inc.
58,423
424
Moog,
Inc.
47,895
1,996
MSC
Industrial
Direct
Company,
Inc.
195,907
486
MYR
Group,
Inc.
m
65,493
152
National
Presto
Industries,
Inc.
11,014
5,397
Northrop
Grumman
Corporation
2,375,705
4,659
nVent
Electric
plc
246,880
3,421
Old
Dominion
Freight
Line,
Inc.
1,399,668
17,645
Oshkosh
Corporation
1,683,862
1,373
Otis
Worldwide
Corporation
110,266
14,306
Owens
Corning,
Inc.
1,951,481
6,169
PACCAR,
Inc.
524,488
7,251
Parker-Hannifin
Corporation
2,824,410
512
Paycom
Software,
Inc.
132,746
569
Paylocity
Holding
Corporation
m
103,387
25,500
Pentair
plc
1,651,125
586
Quanta
Services,
Inc.
109,623
20,810
RB
Global,
Inc.
1,300,625
9,027
Regal
Rexnord
Corporation
1,289,778
1,833
Republic
Services,
Inc.
261,221
2,076
Resideo
Technologies,
Inc.
m
32,801
2,996
Saia,
Inc.
m
1,194,355
2,900
Schneider
National,
Inc.
80,301
4,405
Simpson
Manufacturing
Company,
Inc.
659,913
1,999
SiteOne
Landscape
Supply,
Inc.
m
326,737
4,771
SkyWest,
Inc.
m
200,096
204
Snap-On,
Inc.
52,032
8,666
Southwest
Airlines
Company
234,589
3,221
Standex
International
Corporation
469,267
584
Sterling
Construction
Company,
Inc.
m
42,912
917
Tennant
Company
67,996
3,090
Terex
Corporation
178,046
3,385
Textron,
Inc.
264,504
9,588
Timken
Company
704,622
1,723
Titan
International,
Inc.
m
23,140
1,605
Titan
Machinery,
Inc.
m
42,661
1,998
Trane
Technologies
plc
405,414
16,930
TransUnion
1,215,405
2,709
Trex
Company,
Inc.
m
166,956
72,083
Uber
Technologies,
Inc.
m
3,315,097
35
UniFirst
Corporation/MA
5,705
7,779
United
Parcel
Service,
Inc.
1,212,513
3,820
United
Rentals,
Inc.
1,698,257
412
Valmont
Industries,
Inc.
98,967
1,550
Vertiv
Holdings
Company
57,660
3,423
Wabash
National
Corporation
72,294
31,401
WillScot
Mobile
Mini
Holdings
Corporation
m
1,305,968
Total
73,246,579
Information
Technology
(3.9%)
8,702
8x8,
Inc.
m
21,929
10,670
Adobe,
Inc.
m
5,440,633
34,040
Advanced
Micro
Devices,
Inc.
m
3,499,993
1,063
Alarm.com
Holdings,
Inc.
m
64,992
Shares
Common
Stock
(15.6%)
Value
Information
Technology
(3.9%)
-
continued
1,108
Alpha
and
Omega
Semiconductor,
Ltd.
m
$
33,063
538
American
Software,
Inc.
6,165
3,423
Amkor
Technology,
Inc.
77,360
28,237
Amphenol
Corporation
2,371,626
312
ANSYS,
Inc.
m
92,836
106,640
Apple,
Inc.
18,257,834
22,053
Applied
Materials,
Inc.
3,053,238
6,282
Arista
Networks,
Inc.
m
1,155,448
5,476
Autodesk,
Inc.
m
1,133,039
309
Broadcom,
Inc.
256,649
40,605
Calix,
Inc.
m
1,861,333
416
CDW
Corporation
83,932
3,895
Ciena
Corporation
m
184,078
157,194
Cisco
Systems,
Inc.
8,450,749
22,996
Cognex
Corporation
975,950
124
Cognizant
Technology
Solutions
Corporation
8,400
1,758
Cohu,
Inc.
m
60,546
10,614
CommScope
Holding
Company,
Inc.
m
35,663
72
CommVault
Systems,
Inc.
m
4,868
879
Corning,
Inc.
26,783
5,021
Crane
NXT
Company
279,017
1,682
Datadog,
Inc.
m
153,213
8,683
Descartes
Systems
Group,
Inc.
m
637,159
2,311
DocuSign,
Inc.
m
97,062
5,120
Dolby
Laboratories,
Inc.
405,811
54,315
Dropbox,
Inc.
m
1,478,997
22,790
Dynatrace
Holdings,
LLC
m
1,064,977
666
Elastic
NV
m
54,106
555
Enphase
Energy,
Inc.
m
66,683
9,718
Entegris,
Inc.
912,617
3,748
EPAM
Systems,
Inc.
m
958,326
346
F5,
Inc.
m
55,754
29
Fair
Isaac
Corporation
m
25,187
7,459
Five9,
Inc.
m
479,614
25,753
Flex,
Ltd.
m
694,816
395
FormFactor,
Inc.
m
13,801
24,089
Fortinet,
Inc.
m
1,413,543
14
Gartner,
Inc.
m
4,811
3,896
Gilat
Satellite
Networks,
Ltd.
m
25,051
1,071
GoDaddy,
Inc.
m
79,768
38,916
Grid
Dynamics
Holdings,
Inc.
m
473,997
21,317
Guidewire
Software,
Inc.
m
1,918,530
22,575
Hackett
Group,
Inc.
532,544
12,485
Hewlett
Packard
Enterprise
Company
216,864
118
HP,
Inc.
3,033
2,271
HubSpot,
Inc.
m
1,118,468
206
Insight
Enterprises,
Inc.
m
29,973
1,771
IPG
Photonics
Corporation
m
179,827
1,412
JFrog,
Ltd.
m
35,808
14,070
Juniper
Networks,
Inc.
391,005
2,417
Keysight
Technologies,
Inc.
m
319,793
2,159
KLA
Corporation
990,247
4,164
Knowles
Corporation
m
61,669
6,527
Kyndryl
Holdings,
Inc.
m
98,558
2,050
Lam
Research
Corporation
1,284,879
20,724
Lattice
Semiconductor
Corporation
m
1,780,813
1,611
Littelfuse,
Inc.
398,433
4,509
LiveRamp
Holding,
Inc.
m
130,040
4,229
Marvell
Technology,
Inc.
228,916
1,956
MaxLinear,
Inc.
m
43,521
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
306
Shares
Common
Stock
(15.6%)
Value
Information
Technology
(3.9%)
-
continued
7,669
Microchip
Technology,
Inc.
$
598,565
96,620
Microsoft
Corporation
30,507,765
2,067
MKS
Instruments,
Inc.
178,878
2,948
Monolithic
Power
Systems,
Inc.
1,361,976
202
Motorola
Solutions,
Inc.
54,992
2,617
NCR
Corporation
m
70,580
3,074
NetApp,
Inc.
233,255
523
NICE,
Ltd.
ADR
h,m
88,910
6,452
Nova,
Ltd.
m
725,463
35,646
NVIDIA
Corporation
15,505,654
1,334
ON
Semiconductor
Corporation
m
123,995
172
OSI
Systems,
Inc.
m
20,303
17,663
PagerDuty,
Inc.
m
397,241
8,840
Palo
Alto
Networks,
Inc.
m
2,072,450
6,661
PDF
Solutions,
Inc.
m
215,816
918
Plexus
Corporation
m
85,356
10,083
PTC,
Inc.
m
1,428,559
4,701
Q2
Holdings,
Inc.
m
151,701
1,163
Qorvo,
Inc.
m
111,032
52,847
QUALCOMM,
Inc.
5,869,188
5,657
Rackspace
Technology,
Inc.
h,m
13,294
1,688
Rapid7,
Inc.
m
77,277
2,293
RingCentral,
Inc.
m
67,942
1,184
Roper
Industries,
Inc.
573,388
27,360
Salesforce,
Inc.
m
5,548,061
29,725
Samsung
Electronics
Company,
Ltd.
1,502,722
580
Sanmina
Corporation
m
31,482
8,696
ServiceNow,
Inc.
m
4,860,716
2,807
Silicon
Laboratories,
Inc.
m
325,303
2,701
Skyworks
Solutions,
Inc.
266,292
3,776
SolarWinds
Corporation
m
35,645
1,748
Sprinklr,
Inc.
m
24,192
43,465
Sprout
Social,
Inc.
m
2,168,034
1,899
SPS
Commerce,
Inc.
m
323,988
4,334
Synopsys,
Inc.
m
1,989,176
13,533
TE
Connectivity,
Ltd.
1,671,731
295
Teledyne
Technologies,
Inc.
m
120,531
3,388
Teradata
Corporation
m
152,528
72
Teradyne,
Inc.
7,233
15,495
Texas
Instruments,
Inc.
2,463,860
1,546
Trimble,
Inc.
m
83,268
47,201
TTM
Technologies,
Inc.
m
607,949
9,382
Tyler
Technologies,
Inc.
m
3,622,765
11,073
Unisys
Corporation
m
38,202
3,326
Universal
Display
Corporation
522,149
4,447
Upland
Software,
Inc.
m
20,545
20,799
Varonis
Systems,
Inc.
m
635,201
2,150
Verint
Systems,
Inc.
m
49,429
7,515
VeriSign,
Inc.
m
1,522,013
7,459
Viavi
Solutions,
Inc.
m
68,175
8,005
Vishay
Intertechnology,
Inc.
197,884
8,655
Vontier
Corporation
267,613
14,452
Wolfspeed,
Inc.
m
550,621
9,656
Workiva,
Inc.
m
978,539
1,520
Xerox
Holdings
Corporation
23,849
6,433
Yext,
Inc.
m
40,721
1,800
Zoom
Video
Communications,
Inc.
m
125,892
Total
157,674,227
Materials
(0.4%)
611
Albemarle
Corporation
103,894
1,430
Alcoa
Corporation
41,556
462
AptarGroup,
Inc.
57,768
Shares
Common
Stock
(15.6%)
Value
Materials
(0.4%)
-
continued
28,946
Axalta
Coating
Systems,
Ltd.
m
$
778,647
2,552
Ball
Corporation
127,038
447
Berry
Plastics
Group,
Inc.
27,674
883
Carpenter
Technology
Corporation
59,346
3,980
Celanese
Corporation
499,570
13,043
CF
Industries
Holdings,
Inc.
1,118,307
13,695
Cleveland-Cliffs,
Inc.
m
214,053
4,339
Commercial
Metals
Company
214,390
2,935
Eagle
Materials,
Inc.
488,736
8,707
Eastman
Chemical
Company
668,001
126
Hawkins,
Inc.
7,415
6,364
Huntsman
Corporation
155,282
2,448
Ingevity
Corporation
m
116,549
2,615
Innospec,
Inc.
267,253
5,115
Ivanhoe
Mines,
Ltd.
m
43,835
740
Kaiser
Aluminum
Corporation
55,692
3,220
Linde
plc
1,198,967
3,308
LSB
Industries,
Inc.
m
33,841
298
LyondellBasell
Industries
NV
28,221
2,437
Martin
Marietta
Materials,
Inc.
1,000,340
897
Myers
Industries,
Inc.
16,083
4,590
Newmont
Corporation
169,600
19,908
Nucor
Corporation
3,112,616
4,263
O-I
Glass,
Inc.
m
71,320
2,376
Orion
SA
50,561
1,934
PPG
Industries,
Inc.
251,033
84,820
Ranpak
Holdings
Corporation
m
461,421
364
Reliance
Steel
&
Aluminum
Company
95,452
14,502
RPM
International,
Inc.
1,374,935
1,642
Ryerson
Holding
Corporation
47,766
2,259
Schnitzer
Steel
Industries,
Inc.
62,913
2,103
Steel
Dynamics,
Inc.
225,484
12,872
Summit
Materials,
Inc.
m
400,834
5,594
SunCoke
Energy,
Inc.
56,779
2,082
TimkenSteel
Corporation
m
45,221
768
TriMas
Corporation
19,016
1,112
Trinseo
plc
9,085
36,041
Tronox
Holdings
plc
484,391
472
United
States
Lime
&
Minerals,
Inc.
94,872
15,572
United
States
Steel
Corporation
505,779
1,584
Vulcan
Materials
Company
320,000
Total
15,181,536
Real
Estate
(0.5%)
22,867
Agree
Realty
Corporation
1,263,173
925
Alexandria
Real
Estate
Equities,
Inc.
92,592
9,028
Apartment
Income
REIT
Corporation
277,160
8,834
AvalonBay
Communities,
Inc.
1,517,151
3,160
Camden
Property
Trust
298,873
1,962
CareTrust
REIT,
Inc.
40,221
14,379
CBRE
Group,
Inc.
m
1,062,033
1,719
Centerspace
103,587
3,668
Chatham
Lodging
Trust
35,103
12,538
Compass,
Inc.
m
36,360
18,711
CubeSmart
713,450
8,751
Cushman
and
Wakefield
plc
m
66,683
678
EastGroup
Properties,
Inc.
112,907
11,276
Elme
Communities
153,805
8,893
EPR
Properties
369,415
27,462
Equity
Commonwealth
504,477
10,775
Equity
Residential
632,600
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
307
Shares
Common
Stock
(15.6%)
Value
Real
Estate
(0.5%)
-
continued
5,177
Essential
Properties
Realty
Trust,
Inc.
$
111,978
714
Essex
Property
Trust,
Inc.
151,432
3,539
Extra
Space
Storage,
Inc.
430,272
7,111
First
Industrial
Realty
Trust,
Inc.
338,412
3,431
FirstService
Corporation
499,348
11,850
Four
Corners
Property
Trust,
Inc.
262,951
2,603
Getty
Realty
Corporation
72,181
44,857
Healthcare
Realty
Trust,
Inc.
684,966
47,562
Host
Hotels
&
Resorts,
Inc.
764,321
1,543
Howard
Hughes
Holdings,
Inc.
m
114,383
18,811
Independence
Realty
Trust,
Inc.
264,671
2,478
Kennedy-Wilson
Holdings,
Inc.
36,526
933
LTC
Properties,
Inc.
29,977
28,781
LXP
Industrial
Trust
256,151
7,358
Mid-America
Apartment
Communities,
Inc.
946,607
2,882
National
Storage
Affiliates
Trust
91,475
10,056
NetSTREIT
Corporation
h
156,672
5,290
NNN
REIT,
Inc.
186,949
9,364
Pebblebrook
Hotel
Trust
127,257
6,001
Public
Storage
1,581,383
2,947
Realty
Income
Corporation
147,173
9,724
Regency
Centers
Corporation
577,995
14,541
Rexford
Industrial
Realty,
Inc.
717,598
869
RMR
Group,
Inc.
21,308
12,315
Sabra
Health
Care
REIT,
Inc.
171,671
15,404
SBA
Communications
Corporation
3,083,419
22,810
Service
Properties
Trust
175,409
1,790
Terreno
Realty
Corporation
101,672
34,907
UDR,
Inc.
1,245,133
1,805
Welltower,
Inc.
147,866
Total
20,776,746
Utilities
(0.3%)
1,746
AES
Corporation
26,539
2,147
Alliant
Energy
Corporation
104,022
23,848
American
Electric
Power
Company,
Inc.
1,793,847
1,743
Artesian
Resources
Corporation
73,189
981
Avista
Corporation
31,755
5,002
Black
Hills
Corporation
253,051
2,765
CenterPoint
Energy,
Inc.
74,240
208
Clearway
Energy,
Inc.
4,144
12,015
Constellation
Energy
Corporation
1,310,596
10,422
Duke
Energy
Corporation
919,846
2,172
Edison
International
137,466
10,086
Entergy
Corporation
932,955
19,999
Evergy,
Inc.
1,013,949
510
NextEra
Energy
Partners,
LP
h
15,147
99,900
NiSource,
Inc.
2,465,532
10,953
NorthWestern
Corporation
526,401
26,834
OGE
Energy
Corporation
894,377
3,984
Pinnacle
West
Capital
Corporation
293,541
8,385
Portland
General
Electric
Company
339,425
11,489
Public
Service
Enterprise
Group,
Inc.
653,839
671
Spire,
Inc.
37,965
23,453
UGI
Corporation
539,419
Total
12,441,245
Total
Common
Stock
(cost
$493,114,801)
636,950,103
Shares
Collateral
Held
for
Securities
Loaned
(
0.3%
)
Value
10,433,657
Thrivent
Cash
Management
Trust
$
10,433,657
Total
Collateral
Held
for
Securities
Loaned
(cost
$10,433,657)
10,433,657
Shares
or
Principal
Amount
Short-Term
Investments
(
8.4%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
600,000
5.265%,
10/4/2023
n,o
599,825
3,100,000
5.250%,
10/17/2023
n
3,093,385
6,100,000
5.270%,
10/25/2023
n,o
6,080,054
600,000
5.275%,
11/10/2023
n,o
596,674
7,100,000
5.285%,
11/15/2023
n,o
7,055,613
2,500,000
5.300%,
12/6/2023
n,o
2,476,882
1,000,000
5.315%,
12/13/2023
n,o
989,762
8,500,000
5.315%,
12/15/2023
n,o
8,410,573
Thrivent
Core
Short-Term
Reserve
Fund
31,129,633
5.650%
311,296,335
U.S.
Treasury
Bills
700,000
5.202%,
10/3/2023
n,p
699,898
200,000
5.307%,
12/14/2023
n,p
197,851
Total
Short-Term
Investments
(cost
$341,301,647)
341,496,852
Total
Investments
(cost
$4,143,764,360)
100.7%
$4,107,385,342
Other
Assets
and
Liabilities,
Net
(0.7%)
(27,910,054)
Total
Net
Assets
100.0%
$4,079,475,288
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
f
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$226,079,455
or
5.5%
of
total
net
assets.
g
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
29,
2023.
h
All
or
a
portion
of
the
security
is
on
loan.
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
308
i
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
j
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
k
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
l
Defaulted
security.  Interest
is
not
being
accrued.
m
Non-income
producing
security.
n
The
interest
rate
shown
reflects
the
yield.
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
September
29,
2023,
$808,716
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
*
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
Moderately
Conservative
Allocation
Portfolio
as
of
September
29,
2023
was
$562,479
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
September
29,
2023.
Security
Acquisition
Date
Cost
Massachusetts
Mutual
Life
Insurance
Company,
12/1/2061
11/18/2021
$
992,170
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Moderately
Conservative
Allocation
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
6,755,684
Common
Stock
3,363,799
Total
lending
$10,119,483
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$10,433,657
Net
amounts
due
to
counterparty
$314,174
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
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
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
PRIME
-
Federal
Reserve
Prime
Loan
Rate
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
SOFRRATE
-
Secured
Overnight
Financing
Rate
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
TSFR6M
-
CME
Term
SOFR
6
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
309
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
2,660,257
2,293,247
367,010
Capital
Goods
10,525,741
9,319,639
1,206,102
Communications
Services
14,615,427
14,615,427
Consumer
Cyclical
17,474,106
17,474,106
Consumer
Non-Cyclical
16,107,888
15,402,212
705,676
Energy
2,344,739
2,344,739
Financials
7,906,553
7,906,553
Technology
20,475,486
20,475,486
Transportation
5,888,476
5,888,476
Utilities
793,954
793,954
Long-Term
Fixed
Income
Asset-Backed
Securities
42,953,591
42,953,591
Basic
Materials
12,245,267
12,245,267
Capital
Goods
28,813,958
28,813,958
Collateralized
Mortgage
Obligations
66,020,018
66,020,018
Commercial
Mortgage-Backed
Securities
68,715,057
68,715,057
Communications
Services
44,264,271
44,264,271
Consumer
Cyclical
44,954,274
44,954,274
Consumer
Non-Cyclical
54,035,711
54,035,711
Energy
39,044,740
39,044,740
Financials
130,901,562
130,901,562
Foreign
Government
826,103
826,103
Mortgage-Backed
Securities
373,964,406
373,964,406
Technology
27,066,188
27,066,188
Transportation
12,948,313
12,948,313
U.S.
Government
&
Agencies
548,407,577
548,407,577
Utilities
25,796,021
25,796,021
Registered
Investment
Companies
U.S.
Affiliated
1,156,724,107
1,156,724,107
U.S.
Unaffiliated
22,117,190
22,117,190
Common
Stock
Communications
Services
50,680,107
50,618,585
61,522
Consumer
Discretionary
72,804,925
72,804,925
Consumer
Staples
31,267,612
31,267,612
Energy
26,795,386
26,795,386
Financials
89,301,482
89,301,482
Health
Care
86,780,258
86,780,258
Industrials
73,246,579
72,663,700
582,879
Information
Technology
157,674,227
156,171,505
1,502,722
Materials
15,181,536
15,137,701
43,835
Real
Estate
20,776,746
20,776,746
Utilities
12,441,245
12,441,245
Short-Term
Investments
30,200,517
30,200,517
Subtotal
Investments
in
Securities
$3,465,741,601
$1,813,600,442
$1,649,862,371
$2,278,788
Other
Investments  *
Total
Affiliated
Short-Term
Investments
311,296,335
U.S.
Affiliated
Registered
Investment
Cos.
319,913,749
Collateral
Held
for
Securities
Loaned
10,433,657
Subtotal
Other
Investments
$641,643,741
Total
Investments
at
Value
$4,107,385,342
*
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
the
table
above
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
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
310
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Moderately
Conservative
Allocation
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
8,600,849
8,600,849
Total
Asset
Derivatives
$8,600,849
$8,600,849
$–
$–
Liability
Derivatives
Futures
Contracts
22,747,851
22,747,851
Total
Liability
Derivatives
$22,747,851
$22,747,851
$–
$–
The
following
table
presents
Moderately
Conservative
Allocation
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$26,010,634
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
30
December
2023
$
3,310,865
(
$
68,989)
CBOT
2-Yr.
U.S.
Treasury
Note
660
December
2023
134,383,920
(
594,700)
CBOT
5-Yr.
U.S.
Treasury
Note
45
December
2023
4,792,892
(
51,720)
CBOT
U.S.
Long
Bond
517
December
2023
62,240,803
(
3,415,897)
CME
E-mini
S&P
500
Index
1,636
December
2023
367,665,748
(
13,839,848)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
218
December
2023
27,872,277
(
1,998,402)
ICE
mini
MSCI
EAFE
Index
737
December
2023
77,382,833
(
2,153,558)
Ultra
10-Yr.
U.S.
Treasury
Note
176
December
2023
20,259,737
(
624,737)
Total
Futures
Long
Contracts
$
697,909,075
(
$
22,747,851)
CME
E-mini
Russell
2000
Index
(980)
December
2023
(
$
91,961,182)
$
3,829,782
CME
E-mini
S&P
Mid-Cap
400
Index
(410)
December
2023
(
106,795,765)
3,459,365
CME
Euro
Foreign
Exchange
Currency
(312)
December
2023
(
41,955,289)
566,539
Eurex
Euro
STOXX
50
Index
(924)
December
2023
(
41,578,333)
665,799
ICE
US
mini
MSCI
Emerging
Markets
Index
(66)
December
2023
(
3,232,514)
79,364
Total
Futures
Short
Contracts
(
$
285,523,083)
$8,600,849
Total
Futures
Contracts
$
412,385,992
($14,147,002)
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
311
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$138,454
$6,312
$7,409
$134,283
18,122
3.3%
Core
Emerging
Markets
Equity
33,336
34,157
4,105
0.8
Core
International
Equity
28,272
30,539
3,238
0.8
Core
Low
Volatility
Equity
92,875
52,000
42,583
3,802
1.1
Core
Mid
Cap
Value
40,970
42,260
4,352
1.0
Core
Small
Cap
Value
36,652
36,091
4,010
0.9
Global
Stock
48,147
662
52,799
4,279
1.3
High
Yield
95,081
4,322
5,254
94,849
23,801
2.3
Income
288,493
8,946
13,636
278,137
33,588
6.8
International
Allocation
170,279
3,069
67,000
114,594
13,398
2.8
International
Index
18,946
428
20,138
1,678
0.5
Large
Cap
Value
260,835
18,195
266,933
13,395
6.5
Limited
Maturity
Bond
168,137
3,950
8,364
164,958
17,552
4.1
Mid
Cap
Stock
89,157
5,025
93,334
5,177
2.3
Small
Cap
Stock
70,213
9,859
70,983
4,450
1.7
Total
U.S.
Affiliated
Registered
Investment
Companies
1,538,877
1,476,638
36.2
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
474,855
670,283
833,842
311,296
31,130
7.6
Total
Affiliated
Short-Term
Investments
474,855
311,296
7.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
7,007
294,683
291,256
10,434
10,434
0.3
Total
Collateral
Held
for
Securities
Loaned
7,007
10,434
0.3
Total
Value
$2,020,739
$1,798,368
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
($2,311)
($763)
$
$6,313
Core
Emerging
Markets
Equity
821
Core
International
Equity
2,267
Core
Low
Volatility
Equity
4,761
(3,053)
Core
Mid
Cap
Value
Fund
1,290
Core
Small
Cap
Value
Fund
(561)
Global
Stock
3,990
662
High
Yield
(1,063)
1,763
4,321
Income
(2,482)
(3,184)
8,944
International
Allocation
(9,394)
17,640
3,069
International
Index
764
428
Large
Cap
Value
(12,097)
13,540
4,654
Limited
Maturity
Bond
(360)
1,595
3,950
Mid
Cap
Stock
(848)
4,628
397
Small
Cap
Stock
(9,089)
9,412
447
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
15,133
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$48,318
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
98
Total
Affiliated
Income
from
Securities
Loaned,
Net
$98
Total
Value
($10,849)
$535
$
27,580
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
312
Principal
Amount
Long-Term
Fixed
Income
(
72.9%
)
Value
Basic
Materials
(1.8%)
ATI,
Inc.
$
30,000
7.250%, 
8/15/2030
$
29,775
ATI,
Inc.,
Convertible
12,000
3.500%, 
6/15/2025
32,274
Cascades,
Inc./Cascades
USA,
Inc.
30,000
5.125%, 
1/15/2026
a
28,718
Chemours
Company
52,000
5.750%, 
11/15/2028
a
45,131
Cleveland-Cliffs,
Inc.
37,000
5.875%, 
6/1/2027
35,217
40,000
4.625%, 
3/1/2029
a
34,843
Consolidated
Energy
Finance
SA
106,000
5.625%, 
10/15/2028
a
87,582
First
Quantum
Minerals,
Ltd.
69,000
6.875%, 
10/15/2027
a
66,197
Hecla
Mining
Company
20,000
7.250%, 
2/15/2028
19,350
Hudbay
Minerals,
Inc.
40,000
4.500%, 
4/1/2026
a
37,423
Illuminate
Buyer,
LLC/Illuminate
Holdings
IV,
Inc.
34,000
9.000%, 
7/1/2028
a
32,111
Methanex
Corporation
63,000
4.250%, 
12/1/2024
61,316
Mineral
Resources,
Ltd.
9,000
9.250%, 
10/1/2028
a
9,090
Novelis
Corporation
25,000
3.250%, 
11/15/2026
a
22,327
15,000
3.875%, 
8/15/2031
a
11,979
Olin
Corporation
50,000
5.125%, 
9/15/2027
46,750
10,000
5.625%, 
8/1/2029
9,409
Peabody
Energy
Corporation,
Convertible
11,000
3.250%, 
3/1/2028
b
16,583
SCIL
IV,
LLC/SCIL
USA
Holdings,
LLC
44,000
5.375%, 
11/1/2026
a
40,204
SNF
Group
SACA
40,000
3.375%, 
3/15/2030
a
32,284
SunCoke
Energy,
Inc.
47,000
4.875%, 
6/30/2029
a
39,937
Taseko
Mines,
Ltd.
37,000
7.000%, 
2/15/2026
a,b
34,563
Unifrax
Escrow
Issuer
Corporation
36,000
5.250%, 
9/30/2028
a
25,637
United
States
Steel
Corporation
58,000
6.875%, 
3/1/2029
b
57,017
United
States
Steel
Corporation,
Convertible
13,000
5.000%, 
11/1/2026
32,019
Total
887,736
Capital
Goods
(4.0%)
Advanced
Drainage
Systems,
Inc.
32,000
6.375%, 
6/15/2030
a
30,734
AECOM
80,000
5.125%, 
3/15/2027
75,768
Amsted
Industries,
Inc.
65,000
5.625%, 
7/1/2027
a
61,263
10,000
4.625%, 
5/15/2030
a
8,467
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Capital
Goods
(4.0%)
-
continued
ARD
Finance
SA
$
18,000
6.500%, 
6/30/2027
a
$
13,580
Ardagh
Packaging
Finance
plc/
Ardagh
Holdings
USA,
Inc.
41,000
5.250%, 
8/15/2027
a,b
34,214
7,000
5.250%, 
8/15/2027
a
5,842
Bombardier,
Inc.
40,000
7.875%, 
4/15/2027
a
39,030
52,000
6.000%, 
2/15/2028
a
47,174
Brand
Industrial
Services,
Inc.
15,000
10.375%, 
8/1/2030
a
15,023
Builders
FirstSource,
Inc.
20,000
5.000%, 
3/1/2030
a
17,832
Canpack
SA/Canpack
US,
LLC
54,000
3.125%, 
11/1/2025
a
49,814
Chart
Industries,
Inc.
48,000
7.500%, 
1/1/2030
a
48,263
Chart
Industries,
Inc.,
Convertible
12,000
1.000%, 
11/15/2024
34,848
Clean
Harbors,
Inc.
33,000
6.375%, 
2/1/2031
a
32,088
Clydesdale
Acquisition
Holdings,
Inc.
8,000
6.625%, 
4/15/2029
a
7,438
15,000
8.750%, 
4/15/2030
a
12,865
Cornerstone
Building
Brands,
Inc.
40,000
6.125%, 
1/15/2029
a
30,324
Covanta
Holding
Corporation
17,000
4.875%, 
12/1/2029
a
13,947
CP
Atlas
Buyer,
Inc.
35,000
7.000%, 
12/1/2028
a,b
27,445
Crown
Cork
&
Seal
Company,
Inc.
47,000
7.375%, 
12/15/2026
47,705
Fluor
Corporation,
Convertible
35,000
1.125%, 
8/15/2029
a
36,173
GFL
Environmental,
Inc.
68,000
4.000%, 
8/1/2028
a
59,416
54,000
3.500%, 
9/1/2028
a
46,489
Greenbrier
Companies,
Inc.,
Convertible
23,000
2.875%, 
4/15/2028
21,666
H&E
Equipment
Services,
Inc.
109,000
3.875%, 
12/15/2028
a
93,074
Herc
Holdings,
Inc.
40,000
5.500%, 
7/15/2027
a
37,826
Howmet
Aerospace,
Inc.
120,000
3.000%, 
1/15/2029
101,575
Kaman
Corporation,
Convertible
10,000
3.250%, 
5/1/2024
9,707
Mauser
Packaging
Solutions
Holding
Company
24,000
9.250%, 
4/15/2027
a
20,978
MIWD
Holdco
II,
LLC
24,000
5.500%, 
2/1/2030
a
19,830
Mueller
Water
Products,
Inc.
29,000
4.000%, 
6/15/2029
a
25,256
Nesco
Holdings
II,
Inc.
55,000
5.500%, 
4/15/2029
a
48,263
New
Enterprise
Stone
and
Lime
Company,
Inc.
83,000
5.250%, 
7/15/2028
a
74,473
OI
European
Group
BV
55,000
4.750%, 
2/15/2030
a
47,842
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
313
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Capital
Goods
(4.0%)
-
continued
Owens-Brockway
Glass
Container,
Inc.
$
25,000
6.625%, 
5/13/2027
a
$
24,372
Pactiv
Evergreen
Group
35,000
4.375%, 
10/15/2028
a
30,368
Patrick
Industries,
Inc.,
Convertible
10,000
1.750%, 
12/1/2028
9,435
PGT
Innovations,
Inc.
41,000
4.375%, 
10/1/2029
a
37,805
Sealed
Air
Corporation
40,000
6.125%, 
2/1/2028
a
38,741
Silgan
Holdings,
Inc.
20,000
4.125%, 
2/1/2028
17,893
SRM
Escrow
Issuer,
LLC
100,000
6.000%, 
11/1/2028
a
92,346
Titan
Acquisition,
Ltd./Titan
Co-
Borrower,
LLC
20,000
7.750%, 
4/15/2026
a
19,600
TransDigm,
Inc.
20,000
6.250%, 
3/15/2026
a
19,652
157,000
5.500%, 
11/15/2027
147,007
Triumph
Group,
Inc.
42,000
9.000%, 
3/15/2028
a
41,530
United
Rentals
North
America,
Inc.
7,000
5.500%, 
5/15/2027
6,803
57,000
4.875%, 
1/15/2028
53,244
20,000
4.000%, 
7/15/2030
17,045
Waste
Pro
USA,
Inc.
15,000
5.500%, 
2/15/2026
a
14,007
WESCO
Distribution,
Inc.
70,000
7.250%, 
6/15/2028
a
70,340
Total
1,936,420
Collateralized
Mortgage
Obligations
(0.1%)
GMACM
Mortgage
Loan
Trust
14,790
3.631%, 
11/19/2035,
Ser.
2005-AR6,
Class
1A1
c
13,217
Residential
Accredit
Loans,
Inc.
Trust
41,144
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
30,822
Total
44,039
Communications
Services
(4.3%)
Allen
Media,
LLC/Allen
Media
Co-
Issuer,
Inc.
38,000
10.500%, 
2/15/2028
a
21,735
Altice
Financing
SA
15,000
5.750%, 
8/15/2029
a
12,293
Altice
France
SA/France
2,000
5.125%, 
7/15/2029
a
1,422
139,000
5.500%, 
10/15/2029
a
99,957
AMC
Networks,
Inc.
20,000
5.000%, 
4/1/2024
19,724
62,000
4.250%, 
2/15/2029
38,043
Cable
One,
Inc.,
Convertible
36,000
1.125%, 
3/15/2028
26,784
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
17,000
5.500%, 
5/1/2026
a
16,421
10,000
5.125%, 
5/1/2027
a
9,317
22,000
5.000%, 
2/1/2028
a
19,979
17,000
6.375%, 
9/1/2029
a
15,852
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Communications
Services
(4.3%)
-
continued
$
34,000
4.750%, 
3/1/2030
a
$
28,541
85,000
4.500%, 
8/15/2030
a
69,769
21,000
4.250%, 
2/1/2031
a
16,717
90,000
4.750%, 
2/1/2032
a
72,000
45,000
4.250%, 
1/15/2034
a
33,133
Cengage
Learning,
Inc.
2,000
9.500%, 
6/15/2024
a
2,002
CenterPoint
Energy,
Inc.,
Convertible
800
3.369%, 
9/15/2029
32,264
Cimpress
plc
31,000
7.000%, 
6/15/2026
29,013
Clear
Channel
Outdoor
Holdings,
Inc.
9,000
7.500%, 
6/1/2029
a
6,882
Clear
Channel
Worldwide
Holdings,
Inc.
72,000
5.125%, 
8/15/2027
a
63,935
Connect
Finco
SARL/Connect
US
Finco,
LLC
25,000
6.750%, 
10/1/2026
a
23,317
CSC
Holdings,
LLC
102,000
5.375%, 
2/1/2028
a
83,039
37,000
6.500%, 
2/1/2029
a
30,652
8,000
4.125%, 
12/1/2030
a
5,662
DIRECTV
Financing,
LLC/DIRECTV
Financing
Co-Obligor,
Inc.
80,000
5.875%, 
8/15/2027
a
70,734
DISH
DBS
Corporation
19,000
5.875%, 
11/15/2024
17,685
16,000
5.250%, 
12/1/2026
a
13,598
17,000
7.375%, 
7/1/2028
10,712
31,000
5.750%, 
12/1/2028
a
23,831
29,000
5.125%, 
6/1/2029
16,077
DISH
Network
Corporation
10,000
11.750%, 
11/15/2027
a
10,075
Frontier
Communications
Holdings,
LLC
48,000
5.875%, 
10/15/2027
a
43,654
22,000
6.750%, 
5/1/2029
a,b
16,926
14,000
8.750%, 
5/15/2030
a
13,293
GCI,
LLC
70,000
4.750%, 
10/15/2028
a
60,375
Gray
Escrow
II,
Inc.
74,000
5.375%, 
11/15/2031
a
48,428
Gray
Television,
Inc.
40,000
4.750%, 
10/15/2030
a,b
26,499
Hughes
Satellite
Systems
Corporation
20,000
6.625%, 
8/1/2026
b
17,100
Iliad
Holding
SASU
68,000
6.500%, 
10/15/2026
a
63,887
LCPR
Senior
Secured
Financing
DAC
36,000
6.750%, 
10/15/2027
a
33,066
Level
3
Financing,
Inc.
74,000
4.625%, 
9/15/2027
a
53,218
11,000
4.250%, 
7/1/2028
a
6,853
26,000
10.500%, 
5/15/2030
a
26,171
McGraw-Hill
Education,
Inc.
33,000
5.750%, 
8/1/2028
a
28,471
3,000
8.000%, 
8/1/2029
a
2,603
News
Corporation
46,000
3.875%, 
5/15/2029
a
39,560
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
314
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Communications
Services
(4.3%)
-
continued
Outfront
Media
Capital,
LLC/
Outfront
Media
Capital
Corporation
$
22,000
6.250%, 
6/15/2025
a
$
21,554
18,000
4.625%, 
3/15/2030
a,b
14,150
Paramount
Global
75,000
6.375%, 
3/30/2062
c
58,906
Playtika
Holding
Corporation
42,000
4.250%, 
3/15/2029
a
35,070
Radiate
Holdco,
LLC/Radiate
Finance,
Inc.
25,000
6.500%, 
9/15/2028
a
13,125
Rogers
Communications,
Inc.
100,000
5.250%, 
3/15/2082
a,c
88,428
Scripps
Escrow
II,
Inc.
21,000
3.875%, 
1/15/2029
a
15,793
Sirius
XM
Radio,
Inc.
40,000
5.000%, 
8/1/2027
a
36,536
20,000
4.000%, 
7/15/2028
a
17,071
30,000
4.125%, 
7/1/2030
a
24,018
TEGNA,
Inc.
62,000
4.625%, 
3/15/2028
53,630
Telecom
Italia
Capital
SA
16,000
6.000%, 
9/30/2034
13,341
Telecom
Italia
SPA/Milano
22,000
5.303%, 
5/30/2024
a
21,630
Telesat
Canada/Telesat,
LLC
20,000
4.875%, 
6/1/2027
a
12,960
10,000
6.500%, 
10/15/2027
a
5,100
United
States
Cellular
Corporation
35,000
6.700%, 
12/15/2033
34,038
Uniti
Group,
LP/Uniti
Group
Finance,
Inc./CSL
Capital,
LLC
69,000
4.750%, 
4/15/2028
a
56,344
Univision
Communications,
Inc.
47,000
6.625%, 
6/1/2027
a
43,772
Vodafone
Group
plc
64,000
7.000%, 
4/4/2079
c
63,565
VTR
Finance
NV
30,000
6.375%, 
7/15/2028
a
11,197
VZ
Secured
Financing
BV
12,000
5.000%, 
1/15/2032
a
9,427
YPSO
Finance
BIS
SA
23,000
10.500%, 
5/15/2027
a
14,345
Total
2,085,269
Consumer
Cyclical
(5.7%)
1011778
B.C.,
ULC/New
Red
Finance,
Inc.
100,000
4.375%, 
1/15/2028
a
90,135
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation
20,000
6.625%, 
7/15/2026
a
18,951
32,000
6.000%, 
6/1/2029
a
23,856
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation/
Atlas
Luxco
4
SARL
35,000
4.625%, 
6/1/2028
a
29,168
40,000
4.625%, 
6/1/2028
a
33,208
American
Axle
&
Manufacturing,
Inc.
95,000
6.500%, 
4/1/2027
90,196
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Consumer
Cyclical
(5.7%)
-
continued
Arko
Corporation
$
27,000
5.125%, 
11/15/2029
a
$
21,777
Ashton
Woods
USA,
LLC/Ashton
Woods
Finance
Company
25,000
4.625%, 
8/1/2029
a
21,097
27,000
4.625%, 
4/1/2030
a
22,102
Bloomin'
Brands,
Inc.,
Convertible
3,000
5.000%, 
5/1/2025
6,568
Booking
Holdings,
Inc.,
Convertible
11,000
0.750%, 
5/1/2025
18,370
Boyd
Gaming
Corporation
40,000
4.750%, 
6/15/2031
a
34,039
Boyne
USA,
Inc.
18,000
4.750%, 
5/15/2029
a
15,744
Brookfield
Residential
Properties,
Inc./Brookfield
Residential
US,
LLC
30,000
6.250%, 
9/15/2027
a
27,010
Burlington
Stores,
Inc.,
Convertible
20,000
2.250%, 
4/15/2025
19,388
Caesars
Entertainment,
Inc.
60,000
6.250%, 
7/1/2025
a
59,179
5,000
8.125%, 
7/1/2027
a
5,024
76,000
4.625%, 
10/15/2029
a
64,376
Carnival
Corporation
27,000
7.625%, 
3/1/2026
a
26,265
47,000
5.750%, 
3/1/2027
a
42,545
Cedar
Fair,
LP
69,000
5.250%, 
7/15/2029
59,968
Churchill
Downs,
Inc.
20,000
4.750%, 
1/15/2028
a
18,041
20,000
6.750%, 
5/1/2031
a
18,900
Cinemark
USA,
Inc.
56,000
5.875%, 
3/15/2026
a,b
53,767
Clarios
Global,
LP/Clarios
US
Finance
Company,
Inc.
15,000
8.500%, 
5/15/2027
a,b
14,957
Cracker
Barrel
Old
Country
Store,
Inc.,
Convertible
2,000
0.625%, 
6/15/2026
1,651
Expedia
Group,
Inc.,
Convertible
39,000
Zero
Coupon, 
2/15/2026
33,883
Ford
Motor
Company
78,000
3.250%, 
2/12/2032
60,112
48,000
6.100%, 
8/19/2032
45,212
Ford
Motor
Company,
Convertible
44,000
Zero
Coupon, 
3/15/2026
43,230
Ford
Motor
Credit
Company,
LLC
106,000
2.300%, 
2/10/2025
99,424
60,000
4.134%, 
8/4/2025
56,885
57,000
2.700%, 
8/10/2026
50,865
Forestar
Group,
Inc.
37,000
3.850%, 
5/15/2026
a
33,585
General
Motors
Financial
Company,
Inc.
40,000
5.700%, 
9/30/2030
c,d
34,184
Goodyear
Tire
&
Rubber
Company
30,000
5.000%, 
7/15/2029
25,840
Guitar
Center
Escrow
Issuer
II,
Inc.
12,000
8.500%, 
1/15/2026
a,b
10,422
Hanesbrands,
Inc.
36,000
4.875%, 
5/15/2026
a,b
33,003
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
315
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Consumer
Cyclical
(5.7%)
-
continued
Hilton
Domestic
Operating
Company,
Inc.
$
21,000
3.625%, 
2/15/2032
a
$
16,930
Hilton
Grand
Vacations
Borrower
Escrow,
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
Inc.
34,000
5.000%, 
6/1/2029
a
29,493
Hilton
Worldwide
Finance,
LLC
50,000
4.875%, 
4/1/2027
b
47,563
International
Game
Technology
plc
72,000
5.250%, 
1/15/2029
a
66,349
Jacobs
Entertainment,
Inc.
28,000
6.750%, 
2/15/2029
a
24,850
Jaguar
Land
Rover
Automotive
plc
51,000
5.500%, 
7/15/2029
a
43,605
KB
Home
35,000
4.800%, 
11/15/2029
30,800
L
Brands,
Inc.
69,000
6.625%, 
10/1/2030
a
64,688
10,000
6.875%, 
11/1/2035
8,931
Light
&
Wonder
International,
Inc.
43,000
7.250%, 
11/15/2029
a
42,140
Live
Nation
Entertainment,
Inc.,
Convertible
23,000
2.000%, 
2/15/2025
23,425
30,000
3.125%, 
1/15/2029
a
31,110
Macy's
Retail
Holdings,
LLC
65,000
5.875%, 
4/1/2029
a
56,913
Marriott
Vacations
Worldwide
Corporation,
Convertible
19,000
Zero
Coupon, 
1/15/2026
16,634
18,000
3.250%, 
12/15/2027
a
15,705
Mattamy
Group
Corporation
43,000
5.250%, 
12/15/2027
a
39,243
Michaels
Companies,
Inc.
37,000
5.250%, 
5/1/2028
a,b
29,530
NCL
Corporation,
Ltd.
20,000
3.625%, 
12/15/2024
a
19,206
15,000
5.875%, 
3/15/2026
a
13,849
25,000
5.875%, 
2/15/2027
a
23,774
Nissan
Motor
Company,
Ltd.
17,000
3.522%, 
9/17/2025
a
16,056
17,000
4.345%, 
9/17/2027
a
15,518
22,000
4.810%, 
9/17/2030
a
18,975
PENN
Entertainment,
Inc.
35,000
4.125%, 
7/1/2029
a
28,601
PetSmart,
Inc./PetSmart
Finance
Corporation
60,000
4.750%, 
2/15/2028
a
52,526
29,000
7.750%, 
2/15/2029
a
27,025
Prime
Security
Services
Borrower,
LLC/Prime
Finance,
Inc.
54,000
5.750%, 
4/15/2026
a
52,389
41,000
6.250%, 
1/15/2028
a,b
37,973
Realogy
Group,
LLC/Realogy
Group
Co-Issuer
Corporation
50,000
5.750%, 
1/15/2029
a
36,147
Royal
Caribbean
Cruises,
Ltd.
9,000
11.500%, 
6/1/2025
a
9,501
99,000
4.250%, 
7/1/2026
a
90,772
14,000
9.250%, 
1/15/2029
a
14,790
Scientific
Games
Holdings,
LP/
Scientific
Games
US
FinCo,
Inc.
6,000
6.625%, 
3/1/2030
a
5,175
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Consumer
Cyclical
(5.7%)
-
continued
SeaWorld
Parks
and
Entertainment,
Inc.
$
29,000
5.250%, 
8/15/2029
a
$
25,474
Six
Flags
Theme
Parks,
Inc.
15,000
7.000%, 
7/1/2025
a
14,962
Staples,
Inc.
44,000
7.500%, 
4/15/2026
a
36,183
29,000
10.750%, 
4/15/2027
a
17,024
Station
Casinos,
LLC
32,000
4.625%, 
12/1/2031
a
25,596
Tenneco,
Inc.
30,000
8.000%, 
11/17/2028
a
24,412
Tripadvisor,
Inc.
11,000
7.000%, 
7/15/2025
a
10,979
Uber
Technologies,
Inc.
30,000
6.250%, 
1/15/2028
a
29,336
Uber
Technologies,
Inc.,
Convertible
30,000
Zero
Coupon, 
12/15/2025
27,987
Vail
Resorts,
Inc.,
Convertible
32,000
Zero
Coupon, 
1/1/2026
28,160
Viking
Cruises,
Ltd.
19,000
5.875%, 
9/15/2027
a
17,341
Wabash
National
Corporation
42,000
4.500%, 
10/15/2028
a
35,379
Wyndham
Hotels
&
Resorts,
Inc.
20,000
4.375%, 
8/15/2028
a
17,964
Yum!
Brands,
Inc.
48,000
4.750%, 
1/15/2030
a
43,115
ZF
North
America
Capital,
Inc.
27,000
7.125%, 
4/14/2030
a
26,454
Total
2,793,479
Consumer
Non-Cyclical
(3.7%)
1375209
B.C.,
Ltd.
34,000
9.000%, 
1/30/2028
a,b
33,608
AdaptHealth,
LLC
25,000
4.625%, 
8/1/2029
a
19,188
Albertsons
Companies,
Inc./
Safeway,
Inc./New
Albertsons,
LP/Albertsons,
LLC
70,000
4.625%, 
1/15/2027
a
66,095
39,000
3.500%, 
3/15/2029
a
33,251
B&G
Foods,
Inc.
33,000
5.250%, 
4/1/2025
32,384
23,000
5.250%, 
9/15/2027
19,262
24,000
8.000%, 
9/15/2028
a
24,033
Bausch
&
Lomb
Escrow
Corporation
9,000
8.375%, 
10/1/2028
a
9,027
Bausch
Health
Companies,
Inc.
21,000
5.500%, 
11/1/2025
a,b
18,598
32,000
4.875%, 
6/1/2028
a
18,198
43,000
11.000%, 
9/30/2028
a
29,173
BellRing
Brands,
Inc.
29,000
7.000%, 
3/15/2030
a
28,555
BioMarin
Pharmaceutical,
Inc.,
Convertible
27,000
1.250%, 
5/15/2027
b
26,746
Catalent
Pharma
Solutions,
Inc.
31,000
3.125%, 
2/15/2029
a,b
25,426
Central
Garden
&
Pet
Company
50,000
4.125%, 
10/15/2030
41,686
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
316
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Consumer
Non-Cyclical
(3.7%)
-
continued
Cheplapharm
Arzneimittel
GmbH
$
10,000
5.500%, 
1/15/2028
a
$
9,073
Chobani,
LLC/Chobani
Finance
Corporation,
Inc.
56,000
4.625%, 
11/15/2028
a
49,391
CHS/Community
Health
Systems,
Inc.
17,000
5.625%, 
3/15/2027
a
14,581
11,000
8.000%, 
12/15/2027
a
10,257
55,000
6.000%, 
1/15/2029
a
44,417
19,000
4.750%, 
2/15/2031
a
13,447
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US,
LLC
53,000
4.750%, 
1/15/2029
a
47,794
14,000
6.625%, 
7/15/2030
a
13,669
Edgewell
Personal
Care
Company
30,000
5.500%, 
6/1/2028
a
27,712
Embecta
Corporation
18,000
6.750%, 
2/15/2030
a
14,715
Encompass
Health
Corporation
95,000
4.500%, 
2/1/2028
86,556
Energizer
Holdings,
Inc.
10,000
4.750%, 
6/15/2028
a
8,637
35,000
4.375%, 
3/31/2029
a
29,209
Envista
Holdings
Corporation,
Convertible
4,000
1.750%, 
8/15/2028
3,684
Fortrea
Holdings,
Inc.
13,000
7.500%, 
7/1/2030
a
12,649
Grifols
SA
43,000
4.750%, 
10/15/2028
a,b
36,662
HLF
Financing
SARL,
LLC/
Herbalife
International,
Inc.
76,000
4.875%, 
6/1/2029
a
53,960
Integer
Holdings
Corporation,
Convertible
27,000
2.125%, 
2/15/2028
a
29,335
Jazz
Investments
I,
Ltd.,
Convertible
33,000
2.000%, 
6/15/2026
33,598
Jazz
Securities
DAC
29,000
4.375%, 
1/15/2029
a
25,285
Legacy
LifePoint
Health,
LLC
19,000
4.375%, 
2/15/2027
a
16,340
LifePoint
Health,
Inc.
18,000
11.000%, 
10/15/2030
a
18,000
ModivCare
Escrow
Issuer,
Inc.
15,000
5.000%, 
10/1/2029
a
10,762
ModivCare,
Inc.
12,000
5.875%, 
11/15/2025
a
11,407
Mozart
Debt
Merger
Sub,
Inc.
34,000
3.875%, 
4/1/2029
a
28,744
36,000
5.250%, 
10/1/2029
a,b
31,115
Organon
&
Company/Organon
Foreign
Debt
Co-Issuer
BV
45,000
4.125%, 
4/30/2028
a
39,101
25,000
5.125%, 
4/30/2031
a
20,034
Owens
&
Minor,
Inc.
41,000
6.625%, 
4/1/2030
a,b
36,391
Perrigo
Finance
Unlimited
Company
45,000
4.375%, 
3/15/2026
42,076
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Consumer
Non-Cyclical
(3.7%)
-
continued
Post
Holdings,
Inc.
$
39,000
4.500%, 
9/15/2031
a
$
32,459
Post
Holdings,
Inc.,
Convertible
17,000
2.500%, 
8/15/2027
16,855
RegionalCare
Hospital
Partners
Holdings,
Inc./LifePoint
Health,
Inc.
19,000
9.750%, 
12/1/2026
a
18,394
Scotts
Miracle-Gro
Company
17,000
4.500%, 
10/15/2029
13,898
SEG
Holding,
LLC
95,000
5.625%, 
10/15/2028
a
95,238
Simmons
Foods,
Inc.
35,000
4.625%, 
3/1/2029
a
28,711
Spectrum
Brands,
Inc.
35,000
5.000%, 
10/1/2029
a
31,714
10,000
5.500%, 
7/15/2030
a
9,067
Star
Parent,
Inc.
29,000
9.000%, 
10/1/2030
a
29,305
Teleflex,
Inc.
58,000
4.250%, 
6/1/2028
a
51,884
Tenet
Healthcare
Corporation
108,000
5.125%, 
11/1/2027
100,509
68,000
6.125%, 
10/1/2028
b
63,835
Teva
Pharmaceutical
Finance
Netherlands
III
BV
33,000
3.150%, 
10/1/2026
29,412
Topgolf
Callaway
Brands
Corporation,
Convertible
6,000
2.750%, 
5/1/2026
6,225
TreeHouse
Foods,
Inc.
41,000
4.000%, 
9/1/2028
b
33,261
Winnebago
Industries,
Inc.,
Convertible
15,000
1.500%, 
4/1/2025
16,770
Total
1,821,368
Energy
(5.5%)
Antero
Midstream
Partners,
LP/
Antero
Midstream
Finance
Corporation
11,000
5.375%, 
6/15/2029
a
10,071
Antero
Resources
Corporation
17,000
5.375%, 
3/1/2030
a
15,651
Archrock
Partners,
LP/Archrock
Partners
Finance
Corporation
57,000
6.250%, 
4/1/2028
a
53,068
Baytex
Energy
Corporation
31,000
8.500%, 
4/30/2030
a
31,367
BP
Capital
Markets
plc
180,000
4.875%, 
3/22/2030
c,d
160,816
Buckeye
Partners,
LP
40,000
3.950%, 
12/1/2026
35,920
Callon
Petroleum
Company
35,000
7.500%, 
6/15/2030
a
33,935
Chesapeake
Energy
Corporation
24,000
6.750%, 
4/15/2029
a
23,486
Chord
Energy
Corporation
24,000
6.375%, 
6/1/2026
a
23,532
Civitas
Resources,
Inc.
14,000
8.375%, 
7/1/2028
a
14,245
20,000
8.750%, 
7/1/2031
a
20,429
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
317
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Energy
(5.5%)
-
continued
CNX
Resources
Corporation
$
18,000
6.000%, 
1/15/2029
a
$
16,820
CNX
Resources
Corporation,
Convertible
23,000
2.250%, 
5/1/2026
41,584
Comstock
Resources,
Inc.
17,000
6.750%, 
3/1/2029
a
15,638
14,000
5.875%, 
1/15/2030
a
12,119
CQP
Holdco,
LP/BIP-V
Chinnok
Holdco,
LLC
34,000
5.500%, 
6/15/2031
a
30,136
Crescent
Energy
Finance,
LLC
34,000
9.250%, 
2/15/2028
a
34,712
CrownRock,
LP/CrownRock
Finance,
Inc.
29,000
5.625%, 
10/15/2025
a
28,535
Diamond
Foreign
Asset
Company/
Diamond
Finance,
LLC
12,000
8.500%, 
10/1/2030
a
12,002
DT
Midstream,
Inc.
24,000
4.125%, 
6/15/2029
a
20,761
10,000
4.375%, 
6/15/2031
a
8,409
Enbridge,
Inc.
100,000
7.375%, 
1/15/2083
c
95,097
107,000
7.625%, 
1/15/2083
c
102,170
Enerflex,
Ltd.
30,000
9.000%, 
10/15/2027
a
29,625
Energy
Transfer,
LP
115,000
6.750%, 
5/15/2025
c,d
106,278
EnLink
Midstream
Partners,
LP
48,000
4.850%, 
7/15/2026
45,190
Enterprise
Products
Operating,
LLC
37,000
8.619%, 
(TSFR3M
+
3.248%),
8/16/2077
c
36,550
EQM
Midstream
Partners,
LP
85,000
4.750%, 
1/15/2031
a
73,163
EQT
Corporation,
Convertible
13,000
1.750%, 
5/1/2026
36,083
Ferrellgas,
LP/Ferrellgas
Finance
Corporation
32,000
5.375%, 
4/1/2026
a
29,993
Genesis
Energy
LP/Genesis
Energy
Finance
Corporation
47,000
8.875%, 
4/15/2030
45,890
Harvest
Midstream,
LP
74,000
7.500%, 
9/1/2028
a
71,531
Hess
Midstream
Operations,
LP
29,000
5.625%, 
2/15/2026
a
28,021
Hilcorp
Energy
I,
LP/Hilcorp
Finance
Company
40,000
5.750%, 
2/1/2029
a
36,120
36,000
6.250%, 
4/15/2032
a
32,009
Howard
Midstream
Energy
Partners,
LLC
45,000
6.750%, 
1/15/2027
a
42,750
ITT
Holdings,
LLC
47,000
6.500%, 
8/1/2029
a
39,838
Laredo
Petroleum,
Inc.
54,000
7.750%, 
7/31/2029
a
50,238
MEG
Energy
Corporation
41,000
5.875%, 
2/1/2029
a
38,289
Murphy
Oil
Corporation
32,000
5.875%, 
12/1/2027
31,053
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Energy
(5.5%)
-
continued
Nabors
Industries,
Ltd.
$
80,000
7.250%, 
1/15/2026
a
$
77,300
New
Fortress
Energy,
Inc.
20,000
6.750%, 
9/15/2025
a
19,092
Noble
Finance
II,
LLC
33,000
8.000%, 
4/15/2030
a
33,432
Northern
Oil
and
Gas,
Inc.
31,000
8.750%, 
6/15/2031
a
31,233
Northern
Oil
and
Gas,
Inc.,
Convertible
19,000
3.625%, 
4/15/2029
a
23,471
Northriver
Midstream
Finance,
LP
16,000
5.625%, 
2/15/2026
a
15,247
NuStar
Logistics,
LP
26,000
5.750%, 
10/1/2025
25,285
PBF
Holding
Company,
LLC/PBF
Finance
Corporation
23,000
6.000%, 
2/15/2028
21,693
Permian
Resources
Operating,
LLC
25,000
7.000%, 
1/15/2032
a
24,655
Permian
Resources
Operating,
LLC,
Convertible
7,000
3.250%, 
4/1/2028
16,524
Pioneer
Natural
Resources
Company,
Convertible
7,000
0.250%, 
5/15/2025
17,146
Plains
All
American
Pipeline,
LP
60,000
9.736%, 
(TSFR3M
+
4.372%),
11/2/2023
c,d
56,619
Precision
Drilling
Corporation
42,000
6.875%, 
1/15/2029
a
39,782
Range
Resources
Corporation
25,000
4.750%, 
2/15/2030
a
22,187
Rockcliff
Energy
II,
LLC
33,000
5.500%, 
10/15/2029
a
29,699
Rockies
Express
Pipeline,
LLC
8,000
4.950%, 
7/15/2029
a
7,126
SM
Energy
Company
21,000
6.625%, 
1/15/2027
20,580
15,000
6.500%, 
7/15/2028
14,400
Southwestern
Energy
Company
25,000
5.375%, 
3/15/2030
22,776
21,000
4.750%, 
2/1/2032
18,024
Suburban
Propane
Partners,
LP/
Suburban
Energy
Finance
Corporation
10,000
5.875%, 
3/1/2027
9,550
Sunoco,
LP/Sunoco
Finance
Corporation
5,000
5.875%, 
3/15/2028
4,797
29,000
4.500%, 
4/30/2030
25,113
Tallgrass
Energy
Partners
LP/
Tallgrass
Energy
Finance
Corporation
53,000
5.500%, 
1/15/2028
a
48,230
Teine
Energy,
Ltd.
25,000
6.875%, 
4/15/2029
a
22,938
TransCanada
Trust
160,000
5.300%, 
3/15/2077
c
137,550
Transocean,
Inc.
37,000
11.500%, 
1/30/2027
a
38,804
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
318
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Energy
(5.5%)
-
continued
USA
Compression
Partners,
LP/
USA
Compression
Finance
Corporation
$
50,000
6.875%, 
4/1/2026
$
48,977
Valaris,
Ltd.
30,000
8.375%, 
4/30/2030
a
30,023
Venture
Global
Calcasieu
Pass,
LLC
78,000
3.875%, 
8/15/2029
a
65,635
20,000
4.125%, 
8/15/2031
a
16,412
Venture
Global
LNG,
Inc.
63,000
8.375%, 
6/1/2031
a
61,933
Weatherford
International,
Ltd.
44,000
8.625%, 
4/30/2030
a
44,337
Total
2,703,694
Financials
(13.4%)
Acrisure,
LLC/Acrisure
Finance,
Inc.
10,000
6.000%, 
8/1/2029
a
8,403
AerCap
Holdings
NV
60,000
5.875%, 
10/10/2079
c
58,348
Air
Lease
Corporation
94,000
4.650%, 
6/15/2026
c,d
82,780
Aircastle,
Ltd.
115,000
5.250%, 
6/15/2026
a,c,d
90,430
Alliant
Holdings
Intermediate,
LLC/
Alliant
Holdings
Co-Issuer,
Inc.
22,000
6.750%, 
10/15/2027
a
20,460
Ally
Financial,
Inc.
203,000
4.700%, 
5/15/2026
c,d
139,307
8,000
6.700%, 
2/14/2033
6,945
American
Express
Company
85,000
3.550%, 
9/15/2026
c,d
67,489
AmWINS
Group,
Inc.
31,000
4.875%, 
6/30/2029
a
27,163
Arbor
Realty
Trust,
Inc.,
Convertible
10,000
7.500%, 
8/1/2025
a
10,056
Ares
Capital
Corporation,
Convertible
14,000
4.625%, 
3/1/2024
14,201
BAC
Capital
Trust
XIV
74,000
6.071%, 
(TSFR3M
+
0.662%),
10/18/2023
c,d
57,202
Bank
of
America
Corporation
249,000
6.250%, 
9/5/2024
c,d
244,974
82,000
6.100%, 
3/17/2025
c,d
80,297
40,000
6.300%, 
3/10/2026
c,d
39,244
120,000
6.125%, 
4/27/2027
c,d
114,975
Bank
of
Nova
Scotia
97,000
4.900%, 
6/4/2025
c,d
88,718
Blackstone
Mortgage
Trust,
Inc.,
Convertible
5,000
5.500%, 
3/15/2027
4,447
Bread
Financial
Holdings,
Inc.,
Convertible
3,000
4.250%, 
6/15/2028
a
3,234
Brookfield
Property
REIT,
Inc./BPR
Cumulus,
LLC/BPR
Nimbus,
LLC/GGSI
Sellco,
LLC
10,000
4.500%, 
4/1/2027
a
8,334
Capital
One
Financial
Corporation
36,000
3.950%, 
9/1/2026
c,d
27,021
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Financials
(13.4%)
-
continued
Castlelake
Aviation
Finance
DAC
$
15,000
5.000%, 
4/15/2027
a
$
13,700
Charles
Schwab
Corporation
176,000
5.375%, 
6/1/2025
c,d
169,088
78,000
4.000%, 
6/1/2026
c,d
65,146
35,000
5.000%, 
6/1/2027
c,d
29,250
125,000
4.000%, 
12/1/2030
c,d
88,196
Citigroup,
Inc.
82,000
9.699%, 
(TSFR3M
+
4.330%),
10/30/2023
c,d
81,843
28,000
5.000%, 
9/12/2024
c,d
26,479
95,000
4.000%, 
12/10/2025
c,d
83,101
170,000
3.875%, 
2/18/2026
c,d
145,068
62,000
4.150%, 
11/15/2026
c,d
49,624
51,000
7.375%, 
5/15/2028
b,c,d
49,487
90,000
7.625%, 
11/15/2028
c,d
87,804
Citizens
Financial
Group,
Inc.
80,000
4.000%, 
10/6/2026
c,d
59,291
Coinbase
Global,
Inc.,
Convertible
41,000
0.500%, 
6/1/2026
30,775
Comerica,
Inc.
20,000
5.625%, 
7/1/2025
b,c,d
18,326
Corebridge
Financial,
Inc.
81,000
6.875%, 
12/15/2052
c
77,597
Corporate
Office
Properties,
LP,
Convertible
3,000
5.250%, 
9/15/2028
a
3,005
Credit
Acceptance
Corporation
52,000
5.125%, 
12/31/2024
a
50,647
Credit
Agricole
SA
40,000
8.125%, 
12/23/2025
a,c,d
39,710
Credit
Suisse
Group
AG
56,000
7.500%, 
12/11/2023
*,c,d,e
5,320
40,000
7.250%, 
9/12/2025
a,c,d,e
3,800
Dai-ichi
Life
Insurance
Company,
Ltd.
120,000
5.100%, 
10/28/2024
a,b,c,d
117,652
Drawbridge
Special
Opportunities
Fund,
LP
56,000
3.875%, 
2/15/2026
a
49,824
Enact
Holdings,
Inc.
28,000
6.500%, 
8/15/2025
a
27,578
Encore
Capital
Group,
Inc.,
Convertible
12,000
4.000%, 
3/15/2029
a
11,495
Fifth
Third
Bancorp
91,000
4.500%, 
9/30/2025
c,d
81,498
Fortress
Transportation
and
Infrastructure
Investors,
LLC
43,000
6.500%, 
10/1/2025
a
42,262
31,000
9.750%, 
8/1/2027
a
32,065
Freedom
Mortgage
Corporation
12,000
12.000%, 
10/1/2028
a
12,202
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership,
LP
54,000
3.750%, 
12/15/2027
a
41,809
Goldman
Sachs
Group,
Inc.
70,000
5.500%, 
8/10/2024
c,d
68,231
70,000
3.650%, 
8/10/2026
c,d
56,426
105,000
4.125%, 
11/10/2026
c,d
85,882
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
319
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Financials
(13.4%)
-
continued
Hartford
Financial
Services
Group,
Inc.
$
100,000
7.751%, 
(TSFR3M
+
2.387%),
2/12/2047
a,c
$
85,011
HAT
Holdings
I,
LLC/HAT
Holdings
II,
LLC,
Convertible
1,000
Zero
Coupon, 
5/1/2025
a
965
10,000
3.750%, 
8/15/2028
a
9,719
HSBC
Holdings
plc
55,000
6.375%, 
3/30/2025
c,d
52,833
25,000
4.600%, 
12/17/2030
c,d
18,892
HUB
International,
Ltd.
46,000
5.625%, 
12/1/2029
a
40,055
Huntington
Bancshares,
Inc.
104,000
4.450%, 
10/15/2027
c,d
84,123
Icahn
Enterprises,
LP/Icahn
Enterprises
Finance
Corporation
29,000
6.375%, 
12/15/2025
27,587
32,000
5.250%, 
5/15/2027
28,127
J.P.
Morgan
Chase
&
Company
20,000
8.934%, 
(TSFR3M
+
3.562%),
11/1/2023
c,d
20,068
178,000
5.000%, 
8/1/2024
c,d
172,049
100,000
4.600%, 
2/1/2025
c,d
93,549
85,000
3.650%, 
6/1/2026
c,d
74,191
Jefferies
Finance,
LLC/JFIN
Co-
Issuer
Corporation
15,000
5.000%, 
8/15/2028
a
12,630
Lincoln
National
Corporation
100,000
7.996%, 
(LIBOR
3M
+
2.358%),
11/17/2023
c
69,569
LPL
Holdings,
Inc.
30,000
4.000%, 
3/15/2029
a
26,156
M&T
Bank
Corporation
203,000
3.500%, 
9/1/2026
c,d
142,758
MetLife,
Inc.
140,000
3.850%, 
9/15/2025
c,d
129,512
72,000
5.875%, 
3/15/2028
c,d
67,627
107,000
6.400%, 
12/15/2036
104,552
Molina
Healthcare,
Inc.
39,000
4.375%, 
6/15/2028
a
34,946
MPT
Operating
Partnership,
LP/
MPT
Finance
Corporation
31,000
4.625%, 
8/1/2029
21,956
Nationstar
Mortgage
Holdings,
Inc.
37,000
6.000%, 
1/15/2027
a
34,962
Necessity
Retail
REIT,
Inc./
American
Finance
Operating
Partner,
LP
46,000
4.500%, 
9/30/2028
a
34,941
NFP
Corporation
18,000
6.875%, 
8/15/2028
a
15,420
Nippon
Life
Insurance
Company
172,000
5.100%, 
10/16/2044
a,c
168,776
OneMain
Finance
Corporation
70,000
6.875%, 
3/15/2025
69,445
50,000
3.875%, 
9/15/2028
40,132
Park
Intermediate
Holdings,
LLC
20,000
4.875%, 
5/15/2029
a
16,919
Pebblebrook
Hotel
Trust,
Convertible
44,000
1.750%, 
12/15/2026
36,494
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Financials
(13.4%)
-
continued
PNC
Financial
Services
Group,
Inc.
$
95,000
3.400%, 
9/15/2026
c,d
$
70,279
108,000
6.200%, 
9/15/2027
c,d
99,253
103,000
6.250%, 
3/15/2030
c,d
88,293
PRA
Group,
Inc.
28,000
7.375%, 
9/1/2025
a
27,265
23,000
8.375%, 
2/1/2028
a
20,930
Provident
Financing
Trust
I
25,000
7.405%, 
3/15/2038
24,657
Prudential
Financial,
Inc.
77,000
6.750%, 
3/1/2053
c
74,451
126,000
5.200%, 
3/15/2044
c
123,276
20,000
3.700%, 
10/1/2050
c
16,266
QBE
Insurance
Group,
Ltd.
40,000
5.875%, 
5/12/2025
a,c,d
38,022
Radian
Group,
Inc.
37,000
4.875%, 
3/15/2027
34,572
Redwood
Trust,
Inc.,
Convertible
2,000
7.750%, 
6/15/2027
1,789
Regions
Financial
Corporation
80,000
5.750%, 
6/15/2025
c,d
75,903
RLJ
Lodging
Trust,
LP
19,000
3.750%, 
7/1/2026
a
17,183
33,000
4.000%, 
9/15/2029
a
27,025
Rocket
Mortgage,
LLC/Rocket
Mortgage
Co-Issuer,
Inc.
30,000
3.625%, 
3/1/2029
a
24,802
Service
Properties
Trust
25,000
4.650%, 
3/15/2024
24,659
12,000
4.350%, 
10/1/2024
11,512
25,000
7.500%, 
9/15/2025
24,561
20,000
5.500%, 
12/15/2027
17,093
SLM
Corporation
20,000
4.200%, 
10/29/2025
18,714
Standard
Chartered
plc
35,000
6.000%, 
7/26/2025
a,c,d
33,239
Starwood
Property
Trust,
Inc.,
Convertible
17,000
6.750%, 
7/15/2027
17,417
Sumitomo
Life
Insurance
Company
150,000
3.375%, 
4/15/2081
a,c
124,663
Summit
Hotel
Properties,
Inc.,
Convertible
15,000
1.500%, 
2/15/2026
12,600
Synchrony
Financial
8,000
7.250%, 
2/2/2033
7,061
Toronto-Dominion
Bank
55,000
8.125%, 
10/31/2082
c
54,717
Truist
Financial
Corporation
150,000
5.100%, 
3/1/2030
c,d
128,244
UBS
Group
AG
100,000
4.875%, 
2/12/2027
a,c,d
83,721
United
Wholesale
Mortgage,
LLC
11,000
5.500%, 
11/15/2025
a
10,463
31,000
5.500%, 
4/15/2029
a
26,195
USB
Realty
Corporation
78,000
6.717%, 
(TSFR3M
+
1.409%),
1/15/2027
a,c,d
56,738
USI,
Inc./NY
15,000
6.875%, 
5/1/2025
a
14,884
Ventas
Realty,
LP,
Convertible
24,000
3.750%, 
6/1/2026
a
23,388
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
320
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Financials
(13.4%)
-
continued
Wells
Fargo
&
Company
$
162,000
3.900%, 
3/15/2026
c,d
$
141,482
30,000
6.070%, 
(TSFR3M
+
0.762%),
1/15/2027
c
28,436
91,000
7.625%, 
9/15/2028
c,d
91,743
Welltower
OP,
LLC,
Convertible
36,000
2.750%, 
5/15/2028
a
36,739
XHR,
LP
19,000
6.375%, 
8/15/2025
a,b
18,654
32,000
4.875%, 
6/1/2029
a
27,200
Total
6,530,262
Mortgage-Backed
Securities
(11.7%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
745,020
5.500%, 
7/1/2053
722,861
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
3,079,950
5.000%, 
3/1/2053
2,907,307
849,078
4.500%, 
9/1/2053
780,495
1,425,000
4.500%, 
10/1/2048
f
1,308,328
Total
5,718,991
Technology
(2.6%)
Akamai
Technologies,
Inc.,
Convertible
24,000
0.125%, 
5/1/2025
28,306
12,000
0.375%, 
9/1/2027
12,498
16,000
1.125%, 
2/15/2029
a
16,136
AthenaHealth
Group,
Inc.
50,000
6.500%, 
2/15/2030
a
41,825
Block,
Inc.,
Convertible
5,000
0.125%, 
3/1/2025
4,640
24,000
0.250%, 
11/1/2027
18,015
Cloud
Software
Group,
Inc.
40,000
6.500%, 
3/31/2029
a
35,373
13,000
9.000%, 
9/30/2029
a
11,297
CommScope
Technologies,
LLC
16,000
6.000%, 
6/15/2025
a
15,231
CommScope,
Inc.
70,000
7.125%, 
7/1/2028
a
41,882
CSG
Systems
International,
Inc.,
Convertible
8,000
3.875%, 
9/15/2028
a
7,785
Euronet
Worldwide,
Inc.,
Convertible
11,000
0.750%, 
3/15/2049
10,106
Gartner,
Inc.
30,000
3.625%, 
6/15/2029
a
25,664
60,000
3.750%, 
10/1/2030
a
50,352
II-VI,
Inc.
15,000
5.000%, 
12/15/2029
a,b
13,006
InterDigital,
Inc.,
Convertible
32,000
3.500%, 
6/1/2027
37,661
Iron
Mountain,
Inc.
30,000
4.875%, 
9/15/2027
a
27,671
15,000
5.000%, 
7/15/2028
a
13,643
37,000
4.875%, 
9/15/2029
a
32,428
30,000
5.250%, 
7/15/2030
a
26,209
48,000
4.500%, 
2/15/2031
a
39,478
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Technology
(2.6%)
-
continued
Lumentum
Holdings,
Inc.,
Convertible
$
25,000
0.250%, 
3/15/2024
$
24,750
36,000
0.500%, 
6/15/2028
b
26,147
Microchip
Technology,
Inc.,
Convertible
37,000
0.125%, 
11/15/2024
38,850
NCR
Corporation
44,000
6.125%, 
9/1/2029
a
45,123
ON
Semiconductor
Corporation,
Convertible
32,000
Zero
Coupon, 
5/1/2027
57,600
1,000
0.500%, 
3/1/2029
a
1,098
Open
Text
Corporation
85,000
4.125%, 
2/15/2030
a
71,111
Progress
Software
Corporation,
Convertible
11,000
1.000%, 
4/15/2026
11,319
PTC,
Inc.
10,000
3.625%, 
2/15/2025
a
9,610
35,000
4.000%, 
2/15/2028
a
31,369
Rackspace
Technology
Global,
Inc.
65,000
5.375%, 
12/1/2028
a
21,797
RingCentral,
Inc.
29,000
8.500%, 
8/15/2030
a
28,014
Seagate
HDD
Cayman
18,000
8.500%, 
7/15/2031
a,b
18,464
51,675
9.625%, 
12/1/2032
a
55,682
Semtech
Corporation,
Convertible
12,000
1.625%, 
11/1/2027
a
11,214
Sensata
Technologies,
Inc.
43,000
3.750%, 
2/15/2031
a
34,801
Shift4
Payments,
LLC/Shift4
Payments
Finance
Sub,
Inc.
10,000
4.625%, 
11/1/2026
a
9,429
SS&C
Technologies,
Inc.
124,000
5.500%, 
9/30/2027
a
117,011
Verint
Systems,
Inc.,
Convertible
18,000
0.250%, 
4/15/2026
15,368
Viavi
Solutions,
Inc.
32,000
3.750%, 
10/1/2029
a
26,013
Viavi
Solutions,
Inc.,
Convertible
13,000
1.625%, 
3/15/2026
a
12,409
Vishay
Intertechnology,
Inc.,
Convertible
56,000
2.250%, 
9/15/2030
a
54,852
Ziff
Davis,
Inc.,
Convertible
29,000
1.750%, 
11/1/2026
26,666
Total
1,257,903
Transportation
(1.2%)
Air
Transport
Services
Group,
Inc.,
Convertible
25,000
3.875%, 
8/15/2029
a
24,537
Allegiant
Travel
Company
34,000
7.250%, 
8/15/2027
a
32,002
American
Airlines
Group,
Inc.
12,000
3.750%, 
3/1/2025
a
11,368
American
Airlines,
Inc.
53,000
11.750%, 
7/15/2025
a
56,975
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
321
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Transportation
(1.2%)
-
continued
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
$
117,333
5.500%, 
4/20/2026
a
$
114,595
Avis
Budget
Car
Rental,
LLC/Avis
Budget
Finance,
Inc.
19,000
5.375%, 
3/1/2029
a
16,887
Hawaiian
Brand
Intellectual
Property,
Ltd.
42,000
5.750%, 
1/20/2026
a
37,794
Hertz
Corporation
28,000
4.625%, 
12/1/2026
a
24,815
33,000
5.000%, 
12/1/2029
a
25,836
JetBlue
Airways
Corporation,
Convertible
24,000
0.500%, 
4/1/2026
18,554
Rand
Parent,
LLC
37,000
8.500%, 
2/15/2030
a
34,229
Southwest
Airlines
Company,
Convertible
40,000
1.250%, 
5/1/2025
39,700
United
Airlines,
Inc.
44,000
4.375%, 
4/15/2026
a
40,691
35,000
4.625%, 
4/15/2029
a
30,084
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.
9,000
7.875%, 
5/1/2027
a
7,751
45,000
6.375%, 
2/1/2030
a
34,756
XPO
Escrow
Sub,
LLC
45,000
7.500%, 
11/15/2027
a
45,497
Total
596,071
U.S.
Government
&
Agencies
(16.2%)
U.S.
Treasury
Bonds
1,100,000
3.875%, 
2/15/2043
957,344
U.S.
Treasury
Notes
900,000
4.750%, 
7/31/2025
894,024
3,780,000
1.250%, 
12/31/2026
3,386,053
2,740,000
1.375%, 
11/15/2031
2,147,689
550,000
4.125%, 
11/15/2032
530,449
Total
7,915,559
Utilities
(2.7%)
Algonquin
Power
&
Utilities
Corporation
65,000
4.750%, 
1/18/2082
c
52,975
Alliant
Energy
Corporation,
Convertible
17,000
3.875%, 
3/15/2026
a
16,422
American
Water
Capital
Corporation,
Convertible
21,000
3.625%, 
6/15/2026
a
20,240
Calpine
Corporation
34,000
4.500%, 
2/15/2028
a
30,642
CenterPoint
Energy,
Inc.,
Convertible
9,000
4.250%, 
8/15/2026
a
8,779
CMS
Energy
Corporation,
Convertible
21,000
3.375%, 
5/1/2028
a,b
19,687
Dominion
Energy,
Inc.
120,000
4.350%, 
1/15/2027
c,d
103,609
Duke
Energy
Corporation
102,000
3.250%, 
1/15/2082
c
75,148
51,000
4.875%, 
9/16/2024
c,d
49,638
Principal
Amount
Long-Term
Fixed
Income
(72.9%)
Value
Utilities
(2.7%)
-
continued
Duke
Energy
Corporation,
Convertible
$
50,000
4.125%, 
4/15/2026
a
$
48,525
Edison
International
170,000
5.000%, 
12/15/2026
c,d
145,295
FirstEnergy
Corporation,
Convertible
29,000
4.000%, 
5/1/2026
a
27,913
NextEra
Energy
Capital
Holdings,
Inc.
55,000
3.800%, 
3/15/2082
c
46,558
NextEra
Energy
Operating
Partners,
LP
95,000
3.875%, 
10/15/2026
a
86,014
NextEra
Energy
Partners,
LP,
Convertible
8,000
Zero
Coupon, 
6/15/2024
a
7,588
32,000
Zero
Coupon, 
11/15/2025
a
26,720
NRG
Energy,
Inc.
86,000
10.250%, 
3/15/2028
a,c,d
84,229
13,000
3.375%, 
2/15/2029
a
10,522
15,000
5.250%, 
6/15/2029
a
13,241
NRG
Energy,
Inc.,
Convertible
35,000
2.750%, 
6/1/2048
37,030
PG&E
Corporation
40,000
5.000%, 
7/1/2028
b
36,231
PPL
Capital
Funding,
Inc.,
Convertible
26,000
2.875%, 
3/15/2028
a
23,660
Sempra
95,000
4.125%, 
4/1/2052
c
76,844
40,000
4.875%, 
10/15/2025
c,d
37,899
Southern
Company
64,000
3.750%, 
9/15/2051
c
55,821
Southern
Company,
Convertible
50,000
3.875%, 
12/15/2025
a
48,600
TerraForm
Power
Operating,
LLC
95,000
5.000%, 
1/31/2028
a
86,213
Vistra
Operations
Company,
LLC
75,000
5.000%, 
7/31/2027
a
68,954
Total
1,344,997
Total
Long-Term
Fixed
Income
(cost
$39,375,580)
35,635,788
Shares
Registered
Investment
Companies
(
16.3%
)
Value
U.S.
Affiliated  (7.2%)
474,750
Thrivent
Core
Emerging
Markets
Debt
Fund
3,517,895
Total
3,517,895
U.S.
Unaffiliated  (9.1%)
60,900
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
149,205
19,056
AllianceBernstein
Global
High
Income
Fund,
Inc.
184,843
27,973
Allspring
Income
Opportunities
Fund
170,635
3,037
Barings
Global
Short
Duration
High
Yield
Fund
38,570
5,447
BlackRock
Core
Bond
Trust
54,143
21,024
BlackRock
Corporate
High
Yield
Fund,
Inc.
181,437
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
322
Shares
Registered
Investment
Companies
(16.3%)
Value
U.S.
Unaffiliated  (9.1%)-
continued
18,011
BlackRock
Credit
Allocation
Income
Trust
$
174,347
3,050
BlackRock
Debt
Strategies
Fund,
Inc.
31,324
18,401
BlackRock
Enhanced
Global
Dividend
Trust
173,521
5,100
BlackRock
Enhanced
International
Dividend
Trust
25,449
500
BlackRock
Floating
Rate
Income
Strategies
Fund,
Inc.
6,310
2,633
BlackRock
Income
Trust,
Inc.
29,964
8,668
BlackRock
Multi-Sector
Income
Trust
125,426
13,890
Blackstone
Strategic
Credit
2027
Term
Fund
152,651
18,689
BNY
Mellon
High
Yield
Strategies
Fund
39,994
19,860
Eaton
Vance
Limited
Duration
Income
Fund
179,534
1,299
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
9,574
17,086
First
Trust
High
Income
Long/Short
Fund
183,162
2,366
First
Trust
Senior
Floating
Rate
Income
Fund
II
23,660
5,549
Invesco
Dynamic
Credit
Opportunities
Fund
g,h
58,412
6,980
iShares
Preferred
and
Income
Securities
ETF
b
210,447
9,923
New
America
High
Income
Fund,
Inc.
64,301
38,912
Nuveen
Credit
Strategies
Income
Fund
196,895
9,868
Nuveen
Floating
Rate
Income
Fund/Closed-End
Fund
81,016
6,907
Nuveen
Global
High
Income
Fund
79,016
7,700
Nuveen
Preferred
Income
Opportunities
Fund
48,741
4,050
Nuveen
Quality
Preferred
Income
Fund
II
24,989
16,331
PGIM
Global
High
Yield
Fund,
Inc.
176,048
15,655
PGIM
High
Yield
Bond
Fund,
Inc.
184,416
3,562
Pimco
Dynamic
Income
Fund
61,551
2,053
SPDR
Bloomberg
High
Yield
Bond
ETF
b
185,591
1,923
Tri-Continental
Corporation
51,133
8,600
Vanguard
Short-Term
Corporate
Bond
ETF
646,290
4,700
Virtus
Convertible
&
Income
Fund
14,617
11,047
Virtus
Dividend,
Interest
&
Premium
Strategy
Fund
125,163
1,425
Virtus
Equity
&
Convertible
Income
Fund
28,343
2,733
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund
15,824
23,718
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
116,218
44,379
Western
Asset
High
Income
Opportunity
Fund,
Inc.
161,540
Total
4,464,300
Total
Registered
Investment
Companies
(cost
$9,894,957)
7,982,195
Shares
Preferred
Stock
(
5.3%
)
Value
Communications
Services
(0.6%)
10,950
AT&T,
Inc.,
4.750%
d
$
210,021
178
Paramount
Global,
Convertible,
5.750%
3,159
5,000
Telephone
and
Data
Systems,
Inc.,
6.000%
d
68,250
Total
281,430
Energy
(0.2%)
4,785
Crestwood
Equity
Partners,
LP,
9.250%
d
46,462
525
Energy
Transfer,
LP,
7.600%
c,d
12,826
1,415
Nustar
Logistics,
LP,
12.304%
c
36,380
56
UGI
Corporation,
Convertible,
7.250%
3,200
Total
98,868
Financials
(3.9%)
3,750
Aegon
Funding
Corporation
II,
5.100%
74,475
3,000
Allstate
Corporation,
5.100%
d
58,620
4,200
American
International
Group,
Inc.
5.850%
d
97,776
759
Apollo
Global
Management,
Inc.,
Convertible,
6.750%
h
41,821
11,650
Bank
of
America
Corporation,
4.250%
d
198,632
39
Bank
of
America
Corporation,
Convertible,
7.250%
d
43,376
4,250
Capital
One
Financial
Corporation,
5.000%
d
79,560
3,100
Equitable
Holdings,
Inc.,
5.250%
d
61,070
65
First
Horizon
Bank,
6.393%
*,c,d
43,138
2,000
First
Horizon
Corporation,
6.500%
d
41,800
5,700
J.P.
Morgan
Chase
&
Company,
4.200%
d
103,170
5,450
J.P.
Morgan
Chase
&
Company,
4.750%
d
111,670
6,200
KeyCorp,
6.200%
c,d
122,388
5,475
Morgan
Stanley,
4.250%
d
93,349
3,300
Morgan
Stanley,
5.850%
c,d
76,659
3,200
Morgan
Stanley,
7.125%
c,d
82,112
4,500
Public
Storage
Operating
Company,
3.950%
d
75,105
4,775
Public
Storage
Operating
Company,
4.125%
d
85,807
800
Public
Storage
Operating
Company,
4.625%
d
15,760
200
Public
Storage
Operating
Company,
4.700%
d
3,914
1,450
Regions
Financial
Corporation,
5.700%
c,d
28,420
250
Synovus
Financial
Corporation,
5.875%
c,d
5,383
5,500
U.S.
Bancorp,
4.000%
d
88,055
6,750
Wells
Fargo
&
Company,
4.250%
d
112,658
5,000
Wells
Fargo
&
Company,
4.750%
d
92,900
65
Wells
Fargo
&
Company,
Convertible,
7.500%
d
72,475
Total
1,910,093
Utilities
(0.6%)
488
AES
Corporation,
Convertible,
6.875%
29,768
6,775
CMS
Energy
Corporation,
4.200%
d
134,280
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
323
Shares
Preferred
Stock
(5.3%)
Value
Utilities
(0.6%)
-
continued
805
NextEra
Energy,
Inc.,
Convertible,
6.926%
b
$
30,453
111
NiSource,
Inc.,
Convertible,
7.750%
10,817
3,450
Southern
Company,
4.950%
72,623
Total
277,941
Total
Preferred
Stock
(cost
$3,275,243)
2,568,332
Shares
Collateral
Held
for
Securities
Loaned
(
2.8%
)
Value
1,345,992
Thrivent
Cash
Management
Trust
1,345,992
Total
Collateral
Held
for
Securities
Loaned
(cost
$1,345,992)
1,345,992
Shares
Common
Stock
(
0.4%
)
Value
Communications
Services
(<0.1%)
31
Windstream
Services,
LLC
h
295
Total
295
Consumer
Discretionary
(0.1%)
281
Bloomin'
Brands,
Inc.
6,910
7
Booking
Holdings,
Inc.
h
21,587
Total
28,497
Energy
(0.1%)
62
EQT
Corporation
2,516
649
Permian
Resources
Corporation
9,060
156
Pioneer
Natural
Resources
Company
35,810
Total
47,386
Financials
(0.2%)
1,044
AGNC
Investment
Corporation
9,855
589
Annaly
Capital
Management,
Inc.
11,079
1,200
Apollo
Commercial
Real
Estate
Finance,
Inc.
12,156
30
Bank
of
America
Corporation
821
650
BlackRock
TCP
Capital
Corporation
7,631
97
Blackstone
Mortgage
Trust,
Inc.
2,110
1,700
Chimera
Investment
Corporation
9,282
108
Encore
Capital
Group,
Inc.
h
5,158
317
FS
KKR
Capital
Corporation
6,242
494
Golub
Capital
BDC,
Inc.
7,247
327
New
York
Community
Bancorp,
Inc.
3,708
1,944
Rithm
Capital
Corporation
18,060
25
Wells
Fargo
&
Company
1,022
Total
94,371
Industrials
(<0.1%)
26
Chart
Industries,
Inc.
h
4,397
162
Uber
Technologies,
Inc.
h
7,450
Total
11,847
Information
Technology
(<0.1%)
68
Western
Digital
Corporation
h
3,103
Total
3,103
Shares
Common
Stock
(0.4%)
Value
Materials
(<0.1%)
78
Allegheny
Technologies,
Inc.
h
$
3,210
Total
3,210
Real
Estate
(<0.1%)
78
Kite
Realty
Group
Trust
1,671
Total
1,671
Utilities
(<0.1%)
271
NiSource,
Inc.
6,688
Total
6,688
Total
Common
Stock
(cost
$179,926)
197,068
Shares
or
Principal
Amount
Short-Term
Investments
(
7.2%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
343,824
5.650%
3,438,242
U.S.
Treasury
Bills
100,000
5.254%,
10/19/2023
i,j
99,750
Total
Short-Term
Investments
(cost
$3,537,911)
3,537,992
Total
Investments
(cost
$57,609,609)
104.9%
$51,267,367
Other
Assets
and
Liabilities,
Net
(4.9%)
(2,384,402)
Total
Net
Assets
100.0%
$48,882,965
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$12,160,163
or
24.9%
of
total
net
assets.
b
All
or
a
portion
of
the
security
is
on
loan.
c
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
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.  
d
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.
e
Defaulted
security.  Interest
is
not
being
accrued.
f
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
g
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
h
Non-income
producing
security.
i
The
interest
rate
shown
reflects
the
yield.
j
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.
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
324
*
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
Multidimensional
Income
Portfolio
as
of
September
29,
2023
was
$48,458
or
0.10%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
29,
2023.
Security
Acquisition
Date
Cost
Credit
Suisse
Group
AG,
12/29/2049
5/9/2018
$
60,178
First
Horizon
Bank,
6.393%,
3/5/2019
6/21/2017
49,855
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Multidimensional
Income
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
972,511
Common
Stock
327,886
Total
lending
$1,300,397
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$1,345,992
Net
amounts
due
to
counterparty
$45,595
Definitions:
ETF
-
Exchange
Traded
Fund
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
TSFR3M
-
CME
Term
SOFR
3
Month
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
325
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
887,736
887,736
Capital
Goods
1,936,420
1,936,420
Collateralized
Mortgage
Obligations
44,039
44,039
Communications
Services
2,085,269
2,085,269
Consumer
Cyclical
2,793,479
2,793,479
Consumer
Non-Cyclical
1,821,368
1,821,368
Energy
2,703,694
2,703,694
Financials
6,530,262
6,530,262
Mortgage-Backed
Securities
5,718,991
5,718,991
Technology
1,257,903
1,257,903
Transportation
596,071
596,071
U.S.
Government
&
Agencies
7,915,559
7,915,559
Utilities
1,344,997
1,344,997
Registered
Investment
Companies
U.S.
Unaffiliated
4,464,300
4,405,888
58,412
Preferred
Stock
Communications
Services
281,430
281,430
Energy
98,868
98,868
Financials
1,910,093
1,866,955
43,138
Utilities
277,941
277,941
Common
Stock
Communications
Services
295
295
Consumer
Discretionary
28,497
28,497
Energy
47,386
47,386
Financials
94,371
94,371
Industrials
11,847
11,847
Information
Technology
3,103
3,103
Materials
3,210
3,210
Real
Estate
1,671
1,671
Utilities
6,688
6,688
Short-Term
Investments
99,750
99,750
Subtotal
Investments
in
Securities
$42,965,238
$7,127,855
$35,778,971
$58,412
Other
Investments  *
Total
U.S.
Affiliated
Registered
Investment
Cos.
3,517,895
Affiliated
Short-Term
Investments
3,438,242
Collateral
Held
for
Securities
Loaned
1,345,992
Subtotal
Other
Investments
$8,302,129
Total
Investments
at
Value
$51,267,367
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Multidimensional
Income
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Credit
Default
Swaps
745
745
Total
Asset
Derivatives
$745
$–
$745
$–
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
326
The
following
table
presents
Multidimensional
Income
Portfolio's
swaps
contracts
held
as
of
September
29,
2023.
Investments
totaling
$99,750
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
41,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2028
$
1,150,000
$
$
745
$
745
Total
Credit
Default
Swaps
$–
$745
$745
1
As
the
buyer
of
protection,
Multidimensional
Income
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,
Multidimensional
Income
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
Multidimensional
Income
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
Multidimensional
Income
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$4,243
$225
$870
$3,518
475
7.2%
Total
U.S.
Affiliated
Registered
Investment
Companies
4,243
3,518
7.2
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
3,878
24,561
25,001
3,438
344
7.0
Total
Affiliated
Short-Term
Investments
3,878
3,438
7.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1,944
20,837
21,435
1,346
1,346
2.8
Total
Collateral
Held
for
Securities
Loaned
1,944
1,346
2.8
Total
Value
$10,065
$8,302
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
($262)
$182
$
$175
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
185
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$360
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
18
Total
Affiliated
Income
from
Securities
Loaned,
Net
$18
Total
Value
($262)
$182
$
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
327
Principal
Amount
Bank
Loans
(
8
.4
%
)
a
Value
Basic
Materials
(0.2%)
Grinding
Media,
Inc.,
Term
Loan
$
53,068
9.530%, 
(TSFR1M
+
4.000%),
10/12/2028
b,c
$
52,537
INEOS
US
Petrochem,
LLC,
Term
Loan
132,643
8.181%, 
(TSFR1M
+
2.750%),
1/29/2026
b
131,913
Lummus
Technology
Holdings
V,
LLC,
Term
Loan
48,491
8.931%, 
(TSFR1M
+
3.500%),
6/30/2027
b
48,326
Nouryon
USA,
LLC,
Term
Loan
95,505
8.427%, 
(TSFR3M
+
3.000%),
10/1/2025
b
95,346
Spectrum
Group
Buyer,
Inc.,
Term
Loan
47,789
11.953%, 
(TSFR1M
+
6.500%),
5/19/2028
b
45,913
Total
374,035
Capital
Goods
(0.9%)
Ali
Group
North
America
Corporation,
Term
Loan
71,941
7.431%, 
(TSFR1M
+
2.000%),
7/22/2029
b
71,841
Brookfield
WEC
Holdings,
Inc.,
Term
Loan
117,789
8.181%, 
(TSFR1M
+
2.750%),
8/1/2025
b
117,652
BW
Holding,
Inc.,
Term
Loan
50,037
9.573%, 
(TSFR1M
+
4.000%),
12/14/2028
b
44,802
Chart
Industries,
Inc.,
Term
Loan
43,291
9.174%, 
(TSFR1M
+
3.750%),
3/17/2030
b,c
43,291
Charter
Next
Generation,
Inc.,
Term
Loan
95,794
9.181%, 
(TSFR1M
+
3.750%),
12/1/2027
b
94,836
Clydesdale
Acquisition
Holdings,
Inc.,
Term
Loan
136,617
9.591%, 
(TSFR1M
+
4.175%),
4/13/2029
b
134,607
Cornerstone
Building
Brands,
Inc.,
Term
Loan
136,549
8.682%, 
(TSFR1M
+
3.250%),
4/12/2028
b
132,880
Emerald
Debt
Merger
Sub,
LLC,
Term
Loan
101,154
8.316%, 
(TSFR1M
+
3.000%),
5/31/2030
b
100,965
Foley
Products
Company,
LLC,
Term
Loan
42,934
10.290%, 
(SOFRRATE
+
4.750%),
2/16/2029
b
42,710
Proampac
PG
Borrower,
LLC,
Term
Loan
69,537
0.000%, 
(TSFR1M
+
4.500%),
9/26/2028
b,d,e
69,085
Quikrete
Holdings,
Inc.,
Term
Loan
157,365
8.056%, 
(TSFR1M
+
2.625%),
1/31/2027
b
156,972
Principal
Amount
Bank
Loans
(8.4%)
a
Value
Capital
Goods
(0.9%)
-
continued
Smyrna
Ready
Mix
Concrete,
LLC,
Term
Loan
$
102,559
9.666%, 
(TSFR1M
+
4.250%),
4/1/2029
b,c
$
102,687
TK
Elevator
U.S.
Newco,
Inc.,
Term
Loan
81,183
9.381%, 
(TSFR6M
+
3.500%),
7/31/2027
b
80,940
TransDigm,
Inc.,
Term
Loan
211,935
8.640%, 
(TSFR1M
+
3.250%),
8/24/2028
b
211,901
Vertiv
Group
Corporation,
Term
Loan
79,186
8.192%, 
(TSFR1M
+
2.750%),
3/2/2027
b
79,016
Total
1,484,185
Communications
Services
(1.3%)
Altice
France
SA/France,
Term
Loan
165,154
10.808%, 
(TSFR1M
+
5.500%),
8/31/2028
b
149,093
CCI
Buyer,
Inc.,
Term
Loan
63,350
9.390%, 
(TSFR3M
+
4.000%),
12/17/2027
b
62,440
Cengage
Learning,
Inc.,
Term
Loan
46,382
10.323%, 
(TSFR3M
+
4.750%),
7/14/2026
b
46,103
Charter
Communications
Operating,
LLC,
Term
Loan
198,928
7.116%, 
(TSFR3M
+
1.750%),
2/1/2027
b
198,606
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
144,386
9.130%, 
(TSFR3M
+
3.500%),
8/23/2026
b
139,994
CMG
Media
Corporation,
Term
Loan
91,000
0.000%, 
(LIBOR
3M
+
3.500%),
12/17/2026
b,d,e
83,037
Crown
Subsea
Communications
Holding,
Inc.,
Term
Loan
47,483
10.444%, 
(TSFR1M
+
5.000%),
4/27/2027
b
47,562
74,868
10.694%, 
(TSFR1M
+
5.250%),
4/27/2027
b
75,055
CSC
Holdings,
LLC,
Term
Loan
73,311
7.947%, 
(LIBOR
1M
+
2.500%),
4/15/2027
b
66,224
DIRECTV
Financing,
LLC,
Term
Loan
175,287
10.431%, 
(TSFR1M
+
5.000%),
8/2/2027
b
171,100
Intelsat
Jackson
Holdings
SA,
Term
Loan
92,989
9.772%, 
(TSFR6M
+
4.250%),
2/1/2029
b
92,693
Level
3
Financing,
Inc.,
Term
Loan
83,000
7.181%, 
(TSFR1M
+
1.750%),
3/1/2027
b
78,248
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
328
Principal
Amount
Bank
Loans
(8.4%)
a
Value
Communications
Services
(1.3%)
-
continued
Lumen
Technologies,
Inc.,
Term
Loan
$
102,490
7.681%, 
(TSFR1M
+
2.250%),
3/15/2027
b
$
72,798
McGraw-Hill
Education,
Inc.,
Term
Loan
89,600
10.181%, 
(LIBOR
1M
+
4.750%),
7/30/2028
b,d,e
87,677
MH
Sub
I,
LLC,
Term
Loan
120,471
9.566%, 
(TSFR1M
+
4.250%),
5/3/2028
b
116,386
NEP
Group,
Inc.,
Term
Loan
51,536
8.681%, 
(TSFR1M
+
3.250%),
10/20/2025
b
49,701
Playtika
Holding
Corporation,
Term
Loan
63,350
8.181%, 
(TSFR1M
+
2.750%),
3/11/2028
b
63,232
Radiate
Holdco,
LLC,
Term
Loan
107,843
8.681%, 
(TSFR1M
+
3.250%),
9/25/2026
b
87,955
RLG
Holdings,
LLC,
Term
Loan
47,757
9.681%, 
(TSFR1M
+
4.250%),
7/8/2028
b
44,772
SBA
Senior
Finance
II,
LLC,
Term
Loan
65,143
7.170%, 
(TSFR1M
+
1.750%),
4/11/2025
b,d,e
65,075
UPC
Financing
Partnership,
Term
Loan
49,000
8.372%, 
(TSFR1M
+
2.925%),
1/31/2029
b
48,204
Virgin
Media
Bristol,
LLC,
Term
Loan
121,000
7.947%, 
(TSFR1M
+
2.500%),
1/31/2028
b
117,386
Zayo
Group
Holdings,
Inc.,
Term
Loan
100,170
8.431%, 
(TSFR1M
+
3.000%),
3/9/2027
b
81,569
Ziggo
Financing
Partnership,
Term
Loan
82,000
7.947%, 
(TSFR1M
+
2.500%),
4/30/2028
b
80,018
Total
2,124,928
Consumer
Cyclical
(1.5%)
1011778
B.C.,
ULC,
Term
Loan
197,465
7.566%, 
(TSFR1M
+
2.250%),
9/21/2030
b
196,602
AlixPartners,
LLP,
Term
Loan
56,421
8.181%, 
(TSFR1M
+
2.750%),
2/4/2028
b
56,337
Allied
Universal
Holdco,
LLC,
Term
Loan
196,990
9.166%, 
(TSFR1M
+
3.750%),
5/14/2028
b
189,983
Alterra
Mountain
Company,
Term
Loan
62,364
8.931%, 
(TSFR1M
+
3.500%),
8/17/2028
b
62,156
Arches
Buyer,
Inc.,
Term
Loan
34,643
8.666%, 
(TSFR1M
+
3.250%),
12/6/2027
b
33,863
Principal
Amount
Bank
Loans
(8.4%)
a
Value
Consumer
Cyclical
(1.5%)
-
continued
Caesars
Entertainment,
Inc.,
Term
Loan
$
127,360
8.666%, 
(TSFR1M
+
3.250%),
2/6/2030
b
$
127,281
Carnival
Corporation,
Term
Loan
157,398
8.681%, 
(TSFR1M
+
3.250%),
10/18/2028
b
156,414
Clarios
Global,
LP,
Term
Loan
108,696
9.066%, 
(TSFR1M
+
3.750%),
5/4/2030
b
108,357
Delta
2
Lux
SARL,
Term
Loan
118,000
8.316%, 
(TSFR1M
+
3.000%),
1/15/2030
b
117,882
Fertitta
Entertainment,
LLC/NV,
Term
Loan
48,508
9.316%, 
(TSFR1M
+
4.000%),
1/27/2029
b
47,962
First
Brands
Group,
LLC,
Term
Loan
62,519
10.881%, 
(TSFR6M
+
5.000%),
3/30/2027
b
61,581
GoDaddy
Operating
Company,
LLC,
Term
Loan
78,408
7.816%, 
(TSFR1M
+
2.500%),
11/10/2029
b
78,433
Great
Outdoors
Group,
LLC,
Term
Loan
109,879
9.181%, 
(TSFR1M
+
3.750%),
3/5/2028
b
109,506
Harbor
Freight
Tools
USA,
Inc.,
Term
Loan
98,242
8.181%, 
(TSFR1M
+
2.750%),
10/19/2027
b
97,394
IRB
Holding
Corporation,
Term
Loan
114,131
8.416%, 
(TSFR1M
+
3.000%),
12/15/2027
b
113,604
Light
&
Wonder
International,
Inc.,
Term
Loan
119,787
8.434%, 
(TSFR1M
+
3.000%),
4/14/2029
b
119,637
Petco
Health
&
Wellness
Company,
Inc.,
Term
Loan
49,665
8.902%, 
(TSFR3M
+
3.250%),
3/4/2028
b
49,044
PetSmart,
LLC,
Term
Loan
152,007
9.166%, 
(TSFR1M
+
3.750%),
2/12/2028
b
151,382
Pilot
Travel
Centers,
LLC,
Term
Loan
133,295
7.416%, 
(TSFR1M
+
2.000%),
8/6/2028
b
133,057
Prime
Security
Services
Borrower,
LLC,
Term
Loan
158,376
8.192%, 
(TSFR1M
+
2.750%),
9/23/2026
b
158,089
Scientific
Games
Holdings,
LP,
Term
Loan
81,180
8.768%, 
(TSFR1M
+
3.500%),
4/4/2029
b
80,639
Staples,
Inc.,
Term
Loan
75,990
10.634%, 
(LIBOR
3M
+
5.000%),
4/12/2026
b
65,041
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
329
Principal
Amount
Bank
Loans
(8.4%)
a
Value
Consumer
Cyclical
(1.5%)
-
continued
Stars
Group
Holdings
BV,
Term
Loan
$
46,525
7.902%, 
(TSFR3M
+
2.250%),
7/21/2026
b
$
46,462
UFC
Holdings,
LLC,
Term
Loan
77,700
8.369%, 
(TSFR3M
+
2.750%),
4/29/2026
b
77,577
Total
2,438,283
Consumer
Non-Cyclical
(1.3%)
AI
Aqua
Merger
Sub,
Inc.,
Term
Loan
105,539
9.084%, 
(TSFR1M
+
3.750%),
7/30/2028
b
104,369
Alltech,
Inc.,
Term
Loan
47,004
9.431%, 
(TSFR1M
+
4.000%),
10/15/2028
b
45,300
Amneal
Pharmaceuticals,
LLC,
Term
Loan
104,722
8.931%, 
(TSFR1M
+
3.500%),
5/4/2025
b
102,628
Bausch
+
Lomb
Corporation,
Term
Loan
124,737
8.755%, 
(TSFR1M
+
3.250%),
5/10/2027
b
121,065
Chobani,
LLC,
Term
Loan
48,514
8.931%, 
(TSFR1M
+
3.500%),
10/23/2027
b
48,468
DaVita,
Inc.,
Term
Loan
40,079
7.181%, 
(TSFR1M
+
1.750%),
8/12/2026
b
39,553
Elanco
Animal
Health,
Inc.,
Term
Loan
62,494
7.180%, 
(TSFR1M
+
1.750%),
8/1/2027
b
61,235
Froneri
U.S.,
Inc.,
Term
Loan
120,752
7.666%, 
(TSFR3M
+
2.250%),
1/31/2027
b
119,750
Gainwell
Acquisition
Corporation,
Term
Loan
169,691
9.490%, 
(TSFR3M
+
4.000%),
10/1/2027
b
165,290
ICON
Luxembourg
SARL,
Term
Loan
125,977
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
125,876
Jazz
Financing
Lux
SARL,
Term
Loan
157,215
8.931%, 
(TSFR1M
+
3.500%),
5/5/2028
b
157,062
LifePoint
Health,
Inc.,
Term
Loan
45,557
0.000%, 
(TSFR1M
+
5.500%),
11/16/2028
b,c,d,e
44,190
153,609
9.377%, 
(TSFR3M
+
3.750%),
11/16/2025
b,d,e
153,097
Medline
Borrower,
LP,
Term
Loan
287,085
8.681%, 
(TSFR1M
+
3.250%),
10/21/2028
b
286,138
Organon
&
Company,
Term
Loan
144,765
8.442%, 
(TSFR1M
+
3.000%),
6/2/2028
b
144,331
Principal
Amount
Bank
Loans
(8.4%)
a
Value
Consumer
Non-Cyclical
(1.3%)
-
continued
Packaging
Coordinators
Midco,
Inc.,
Term
Loan
$
49,618
9.152%, 
(TSFR3M
+
3.500%),
11/30/2027
b
$
49,355
Phoenix
Newco,
Inc.,
Term
Loan
65,337
8.681%, 
(TSFR1M
+
3.250%),
11/15/2028
b
64,817
PRA
Health
Sciences,
Inc.,
Term
Loan
31,387
7.902%, 
(TSFR3M
+
2.250%),
7/1/2028
b
31,362
Reynolds
Consumer
Products,
LLC,
Term
Loan
90,614
7.166%, 
(TSFR1M
+
1.750%),
2/4/2027
b
90,460
Select
Medical
Corporation,
Term
Loan
79,800
8.316%, 
(TSFR1M
+
3.000%),
3/6/2027
b
79,501
Sotera
Health
Holdings,
LLC,
Term
Loan
55,500
8.181%, 
(TSFR1M
+
2.750%),
12/11/2026
b
54,931
Star
Parent,
Inc.,
Term
Loan
75,207
0.000%, 
(TSFR1M
+
4.000%),
9/28/2030
b,d,e
73,442
Total
2,162,220
Energy
(0.2%)
Buckeye
Partners,
LP,
Term
Loan
79,186
7.666%, 
(TSFR1M
+
2.250%),
11/1/2026
b
79,067
CQP
Holdco,
LP,
Term
Loan
158,380
8.990%, 
(TSFR1M
+
3.500%),
6/4/2028
b
158,343
GIP
II
Blue
Holding,
LP,
Term
Loan
26,812
9.931%, 
(TSFR3M
+
4.500%),
9/29/2028
b
26,846
GIP
III
Stetson
I,
LP,
Term
Loan
44,113
9.666%, 
(TSFR1M
+
4.250%),
7/18/2025
b
44,067
Oryx
Midstream
Services
Permian
Basin,
LLC,
Term
Loan
37,707
8.692%, 
(TSFR3M
+
3.250%),
10/5/2028
b
37,648
Total
345,971
Financials
(0.6%)
Acrisure,
LLC,
Term
Loan
74,231
8.931%, 
(LIBOR
1M
+
3.500%),
2/15/2027
b
73,091
Alliant
Holdings
Intermediate,
LLC,
Term
Loan
30,687
8.831%, 
(TSFR1M
+
3.500%),
11/6/2027
b
30,620
AmWINS
Group,
Inc.,
Term
Loan
119,769
7.681%, 
(TSFR1M
+
2.250%),
2/19/2028
b
118,939
Asurion,
LLC,
Term
Loan
113,731
8.681%, 
(LIBOR
3M
+
3.250%),
12/23/2026
b
111,172
33,333
8.681%, 
(TSFR3M
+
3.250%),
7/31/2027
b
32,166
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
330
Principal
Amount
Bank
Loans
(8.4%)
a
Value
Financials
(0.6%)
-
continued
$
15,684
9.666%, 
(TSFR1M
+
4.250%),
8/19/2028
b
$
15,213
Edelman
Financial
Engines
Center,
LLC,
Term
Loan
32,666
8.931%, 
(TSFR1M
+
3.500%),
4/7/2028
b
32,282
First
Eagle
Holdings,
Inc.,
Term
Loan
32,651
7.990%, 
(TSFR3M
+
2.500%),
2/2/2027
b
32,337
Focus
Financial
Partners,
LLC,
Term
Loan
53,594
8.566%, 
(TSFR1M
+
3.250%),
6/30/2028
b
53,408
Howden
Group
Holdings,
Ltd.,
Term
Loan
32,664
8.688%, 
(LIBOR
1M
+
3.250%),
11/12/2027
b
32,525
HUB
International,
Ltd.,
Term
Loan
99,239
9.584%, 
(TSFR1M
+
4.250%),
6/20/2030
b
99,405
Hudson
River
Trading,
LLC,
Term
Loan
34,645
8.631%, 
(TSFR1M
+
3.000%),
3/18/2028
b
34,391
Jane
Street
Group,
LLC,
Term
Loan
63,349
8.181%, 
(TSFR1M
+
2.750%),
1/26/2028
b
63,111
Sedgwick
Claims
Management
Services,
Inc.,
Term
Loan
52,237
9.066%, 
(TSFR1M
+
3.750%),
2/24/2028
b
52,101
Trans
Union,
LLC,
Term
Loan
98,728
7.681%, 
(TSFR1M
+
2.250%),
12/1/2028
b
98,592
USI,
Inc./NY,
Term
Loan
117,810
9.140%, 
(TSFR1M
+
3.750%),
11/22/2029
b
117,630
VFH
Parent,
LLC,
Term
Loan
48,510
8.418%, 
(TSFR1M
+
3.000%),
1/13/2029
b
48,075
Total
1,045,058
Technology
(1.8%)
Amentum
Government
Services
Holdings,
LLC,
Term  Loan
79,198
9.331%, 
(TSFR1M
+
4.000%),
2/15/2029
b
77,961
AthenaHealth
Group,
Inc.,
Term
Loan
153,186
8.568%, 
(PRIME
+
3.250%),
2/15/2029
b
150,075
Boxer
Parent
Company,
Inc.,
Term
Loan
120,575
9.181%, 
(TSFR1M
+
3.750%),
10/2/2025
b
120,392
Central
Parent,
Inc.,
Term
Loan
141,927
9.640%, 
(TSFR3M
+
4.250%),
7/6/2029
b
141,851
Cloud
Software
Group,
Inc.,
Term
Loan
85,570
9.990%, 
(TSFR3M
+
4.500%),
3/30/2029
b
82,165
Principal
Amount
Bank
Loans
(8.4%)
a
Value
Technology
(1.8%)
-
continued
Coherent
Corporation,
Term
Loan
$
73,132
8.181%, 
(TSFR3M
+
2.750%),
7/1/2029
b
$
72,813
CommScope,
Inc.,
Term
Loan
47,751
8.681%, 
(TSFR1M
+
3.250%),
4/4/2026
b
43,477
CoreLogic,
Inc.,
Term
Loan
65,499
8.931%, 
(TSFR1M
+
3.500%),
6/2/2028
b
60,395
Cornerstone
OnDemand,
Inc.,
Term
Loan
87,116
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
82,651
Dcert
Buyer,
Inc.,
Term
Loan
96,005
9.316%, 
(TSFR6M
+
4.000%),
10/16/2026
b
95,274
Dun
&
Bradstreet
Corporation,
Term
Loan
94,996
8.167%, 
(TSFR1M
+
2.750%),
2/8/2026
b
94,788
Entegris,
Inc.,
Term
Loan
67,911
7.871%, 
(TSFR3M
+
2.500%),
7/6/2029
b
67,890
Gen
Digital,
Inc.,
Term
Loan
91,946
7.416%, 
(TSFR1M
+
2.000%),
9/12/2029
b
91,578
Genesys
Cloud
Services
Holdings
II,
LLC,
Term
Loan
79,389
9.431%, 
(TSFR1M
+
4.000%),
12/1/2027
b
79,389
GTCR
W
Merger
Sub,
LLC,
Term
Loan
145,600
0.000%, 
(TSFR1M
+
3.000%),
9/20/2030
b,d,e
145,494
Informatica,
LLC,
Term
Loan
79,196
8.181%, 
(TSFR1M
+
2.750%),
10/29/2028
b
78,850
Magenta
Buyer,
LLC,
Term
Loan
85,348
10.631%, 
(TSFR3M
+
5.000%),
7/27/2028
b
63,253
McAfee
Corporation,
Term
Loan
163,346
9.180%, 
(TSFR1M
+
3.750%),
3/1/2029
b
159,313
Mitchell
International,
Inc.,
Term
Loan
98,995
9.181%, 
(TSFR1M
+
3.750%),
10/15/2028
b
97,234
MKS
Instruments,
Inc.,
Term
Loan
142,560
8.166%, 
(TSFR1M
+
2.750%),
8/17/2029
b
142,330
Open
Text
Corporation,
Term
Loan
120,093
8.166%, 
(TSFR1M
+
2.750%),
1/31/2030
b
120,038
Peraton
Corporation,
Term
Loan
246,700
9.166%, 
(TSFR1M
+
3.750%),
2/1/2028
b
245,930
Polaris
Newco,
LLC,
Term
Loan
142,545
9.431%, 
(TSFR3M
+
4.000%),
6/4/2028
b
136,283
Proofpoint,
Inc.,
Term
Loan
105,922
8.681%, 
(TSFR1M
+
3.250%),
8/31/2028
b
104,936
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
331
Principal
Amount
Bank
Loans
(8.4%)
a
Value
Technology
(1.8%)
-
continued
RealPage,
Inc.,
Term
Loan
$
81,172
8.431%, 
(TSFR1M
+
3.000%),
4/22/2028
b
$
80,157
Tempo
Acquisition,
LLC,
Term
Loan
78,207
8.316%, 
(TSFR1M
+
2.750%),
8/31/2028
b
78,207
UKG,
Inc.,
Term
Loan
169,277
8.618%, 
(TSFR3M
+
3.250%),
5/3/2026
b
168,661
Verscend
Holding
Corporation,
Term
Loan
116,805
9.431%, 
(TSFR1M
+
4.000%),
8/27/2025
b
116,680
Total
2,998,065
Transportation
(0.5%)
AAdvantage
Loyalty
IP,
Ltd.,
Term
Loan
178,979
10.338%, 
(TSFR3M
+
4.750%),
4/20/2028
b
184,170
Air
Canada,
Term
Loan
150,476
9.128%, 
(TSFR3M
+
3.500%),
8/11/2028
b
150,445
Apple
Bidco,
LLC,
Term
Loan
49,249
8.181%, 
(TSFR1M
+
2.750%),
9/23/2028
b
48,855
Brown
Group
Holding,
LLC,
Term
Loan
63,308
8.166%, 
(TSFR1M
+
2.750%),
6/7/2028
b
62,661
Genesee
&
Wyoming,
Inc.,
Term
Loan
79,180
7.490%, 
(TSFR3M
+
2.000%),
12/30/2026
b
79,006
SkyMiles
IP,
Ltd.,
Term
Loan
144,503
9.076%, 
(TSFR3M
+
3.750%),
10/20/2027
b
149,508
United
Airlines,
Inc.,
Term
Loan
181,010
9.182%, 
(TSFR3M
+
3.750%),
4/21/2028
b
181,051
Total
855,696
Utilities
(0.1%)
PG&E
Corporation,
Term
Loan
116,232
8.431%, 
(TSFR1M
+
3.000%),
6/23/2025
b
116,152
Total
116,152
Total
Bank
Loans
(cost
$13,905,784)
13,944,593
Principal
Amount
Long-Term
Fixed
Income
(
78
.2
%
)
Value
Asset-Backed
Securities
(10.2%)
510
Asset
Backed
Trust
200,000
3.967%, 
5/25/2061,
Ser.
2021-NPL1,
Class
A2
f,g
170,205
186,778
2.116%, 
6/25/2061,
Ser.
2021-NPL2,
Class
A1
f,g
170,740
275,000
4.090%, 
6/25/2061,
Ser.
2021-NPL2,
Class
A2
f,g
235,048
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Asset-Backed
Securities
(10.2%)
-
continued
720
East
CLO
I,
Ltd.
$
300,000
9.576%, 
(TSFR3M
+
4.250%),
1/20/2036,
Ser.
2022-1A,
Class
C
b,f
$
302,284
Affirm
Asset
Securitization
Trust
350,000
4.300%, 
5/17/2027,
Ser.
2022-A,
Class
1A
f
342,535
300,000
6.610%, 
1/18/2028,
Ser.
2023-A,
Class
A
f
298,057
Anchorage
Capital
CLO
16,
Ltd.
450,000
7.982%, 
(TSFR3M
+
2.662%),
1/19/2035,
Ser.
2020-16A,
Class
CR
b,f
441,583
Anchorage
Capital
CLO
21,
Ltd.
400,000
7.988%, 
(TSFR3M
+
2.662%),
10/20/2034,
Ser.
2021-21A,
Class
C
b,f
393,214
Ares
XL
CLO,
Ltd.
325,000
8.370%, 
(TSFR3M
+
3.062%),
1/15/2029,
Ser.
2016-40A,
Class
CRR
b,f
318,133
Babson
CLO,
Ltd.
500,000
8.488%, 
(TSFR3M
+
3.162%),
7/20/2029,
Ser.
2018-3A,
Class
D
b,f
495,993
Barings
CLO,
Ltd.
350,000
8.738%, 
(TSFR3M
+
3.412%),
1/20/2032,
Ser.
2016-2A,
Class
DR2
b,f
343,506
Benefit
Street
Partners
CLO
II,
Ltd.
300,000
7.470%, 
(TSFR3M
+
2.162%),
7/15/2029,
Ser.
2013-IIA,
Class
BR2
b,f
299,990
Business
Jet
Securities,
LLC
40,618
2.981%, 
11/15/2035,
Ser.
2020-1A,
Class
A
f
38,081
361,028
4.455%, 
6/15/2037,
Ser.
2022-1A,
Class
A
f
337,520
CarVal
CLO
VIII-C,
Ltd.
450,000
8.346%, 
(TSFR3M
+
3.000%),
10/22/2035,
Ser.
2022-2A,
Class
B1
b,f
452,552
CarVal
CLO,
Ltd.
300,000
9.034%, 
(TSFR3M
+
3.700%),
4/21/2034,
Ser.
2022-1A,
Class
D
b,f
288,098
College
Avenue
Student
Loans,
LLC
73,461
7.084%, 
(TSFR1M
+
1.764%),
11/26/2046,
Ser.
2017-A,
Class
A1
b,f
73,709
Dewolf
Park
CLO,
Ltd.
350,000
8.420%, 
(TSFR3M
+
3.112%),
10/15/2030,
Ser.
2017-1A,
Class
DR
b,f
336,336
Dryden
36
Senior
Loan
Fund
275,000
7.620%, 
(TSFR3M
+
2.312%),
4/15/2029,
Ser.
2014-36A,
Class
CR3
b,f
270,777
Education
Funding
Trust
204,601
2.790%, 
7/25/2041,
Ser.
2020-A,
Class
A
f
185,389
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
332
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Asset-Backed
Securities
(10.2%)
-
continued
FirstKey
Homes
Trust
$
700,000
1.968%, 
10/19/2037,
Ser.
2020-SFR2,
Class
D
f
$
635,727
FRTKL
Trust
200,000
1.922%, 
9/17/2038,
Ser.
2021-SFR1,
Class
C
f
173,689
GMAC
Mortgage
Corporation
Loan
Trust
22,058
5.934%, 
(TSFR1M
+
0.614%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,h
12,226
GSAA
Home
Equity
Trust
76,740
4.467%, 
8/25/2034,
Ser.
2004-10,
Class
M2
b,g
66,752
Harley
Marine
Financing,
LLC
229,480
6.682%, 
5/15/2043,
Ser.
2018-1A,
Class
A2
f
228,706
Home
Equity
Asset
Trust
401,662
6.754%, 
(TSFR1M
+
1.434%),
8/25/2033,
Ser.
2003-2,
Class
M1
b
379,662
Long
Beach
Mortgage
Loan
Trust
303,964
6.934%, 
(TSFR1M
+
1.614%),
9/25/2034,
Ser.
2004-5,
Class
M3
b
294,876
Longfellow
Place
CLO,
Ltd.
400,000
7.870%, 
(TSFR3M
+
2.562%),
4/15/2029,
Ser.
2013-1A,
Class
CR3
b,f
398,889
Madison
Park
Funding
XVIII,
Ltd.
550,000
7.495%, 
(TSFR3M
+
2.162%),
10/21/2030,
Ser.
2015-18A,
Class
CRR
b,f
537,048
Neuberger
Berman
CLO,
Ltd.
425,000
8.570%, 
(TSFR3M
+
3.262%),
10/15/2029,
Ser.
2013-15A,
Class
DR2
b,f
404,784
Pagaya
AI
Debt
Trust
259,158
7.556%, 
7/15/2030,
Ser.
2023-1,
Class
A
f
260,214
Pagaya
AI
Technology
in
Housing
Trust
300,000
4.250%, 
8/25/2025,
Ser.
2022-1,
Class
B
f
282,535
PPM
CLO
6,
Ltd.
300,000
9.826%, 
(TSFR3M
+
4.500%),
1/20/2031,
Ser.
2022-6A,
Class
C
b,f
299,745
Preston
Ridge
Partners
Mortgage
Trust,
LLC
350,000
3.474%, 
7/25/2026,
Ser.
2021-6,
Class
A2
f,g
285,298
Pretium
Mortgage
Credit
Partners,
LLC
225,000
5.438%, 
1/25/2052,
Ser.
2022-NPL1,
Class
A2
f,g
203,240
225,000
3.844%, 
6/27/2060,
Ser.
2021-NPL2,
Class
A2
f,g
178,796
250,000
3.721%, 
7/25/2051,
Ser.
2021-NPL3,
Class
A2
f,g
200,107
186,629
2.487%, 
10/25/2051,
Ser.
2021-NPL5,
Class
A1
f,g
175,399
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Asset-Backed
Securities
(10.2%)
-
continued
Progress
Residential
Trust
$
350,000
3.600%, 
4/17/2039,
Ser.
2022-SFR3,
Class
B
f
$
318,335
Renaissance
Home
Equity
Loan
Trust
216,611
5.797%, 
8/25/2036,
Ser.
2006-2,
Class
AF3
g
85,774
Saxon
Asset
Securities
Trust
120,405
2.869%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
99,913
Sculptor
CLO,
Ltd.
425,000
7.988%, 
(TSFR3M
+
2.662%),
1/20/2035,
Ser.
28A,
Class
C
b,f
417,998
Shackleton
CLO,
Ltd.
250,000
7.788%, 
(TSFR3M
+
2.462%),
10/20/2034,
Ser.
2021-16A,
Class
C
b,f
241,954
Silver
Point
CLO
2,
Ltd.
200,000
7.782%, 
(TSFR3M
+
2.700%),
4/20/2035,
Ser.
2023-2A,
Class
A2
b,f
201,126
Sound
Point
CLO,
Ltd.
450,000
7.838%, 
(TSFR3M
+
2.512%),
1/20/2032,
Ser.
2019-1A,
Class
CR
b,f
427,351
Stanwich
Mortgage
Loan
Company,
LLC
373,074
2.735%, 
10/16/2026,
Ser.
2021-NPB1,
Class
A1
f,g
339,974
Stratus
CLO,
Ltd.
450,000
8.088%, 
(TSFR3M
+
2.762%),
12/29/2029,
Ser.
2021-1A,
Class
D
b,f
443,264
400,000
8.376%, 
(TSFR3M
+
3.050%),
10/20/2031,
Ser.
2022-3A,
Class
B
b,f
401,035
Unlock
HEA
Trust
300,000
7.000%, 
10/25/2038,
Ser.
2023-1,
Class
A
e,f
283,108
Upstart
Securitization
Trust
218,456
6.590%, 
2/20/2033,
Ser.
2023-1,
Class
A
f
218,011
VCAT
Asset
Securitization,
LLC
100,000
4.826%, 
12/26/2050,
Ser.
2021-NPL1,
Class
A2
f,g
90,098
Vericrest
Opportunity
Loan
Transferee
350,000
4.826%, 
2/27/2051,
Ser.
2021-NPL2,
Class
A2
f,g
278,508
400,000
4.949%, 
2/27/2051,
Ser.
2021-NPL3,
Class
A2
f,g
304,012
450,000
4.826%, 
4/25/2051,
Ser.
2021-NPL6,
Class
A2
f,g
338,243
200,000
4.949%, 
4/25/2051,
Ser.
2021-NPL8,
Class
A2
f,g
151,221
325,000
4.826%, 
5/25/2051,
Ser.
2021-NPL9,
Class
A2
f,g
245,477
250,000
5.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
f,g
188,363
Whitebox
CLO
III,
Ltd.
450,000
7.770%, 
(TSFR3M
+
2.462%),
10/15/2034,
Ser.
2021-3A,
Class
C
b,f
444,564
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
333
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Asset-Backed
Securities
(10.2%)
-
continued
Whitebox
CLO
IV,
Ltd.
$
450,000
7.380%, 
(TSFR3M
+
2.600%),
4/20/2036,
Ser.
2023-4A,
Class
B
b,f
$
447,691
Wind
River
CLO,
Ltd.
200,000
7.588%, 
(TSFR3M
+
2.262%),
7/20/2030,
Ser.
2013-1A,
Class
BRR
b,f
198,703
Total
16,976,166
Basic
Materials
(1.8%)
Anglo
American
Capital
plc
63,000
3.875%, 
3/16/2029
f
56,454
ATI,
Inc.
89,000
7.250%, 
8/15/2030
88,332
ATI,
Inc.,
Convertible
30,000
3.500%, 
6/15/2025
80,685
Cascades,
Inc./Cascades
USA,
Inc.
85,000
5.125%, 
1/15/2026
f
81,367
Chemours
Company
169,000
5.750%, 
11/15/2028
f
146,675
Cleveland-Cliffs,
Inc.
70,000
5.875%, 
6/1/2027
i
66,627
110,000
4.625%, 
3/1/2029
f,i
95,817
Consolidated
Energy
Finance
SA
229,000
5.625%, 
10/15/2028
f
189,211
Ecolab,
Inc.
58,000
2.125%, 
2/1/2032
45,485
EIDP,
Inc.
51,000
4.500%, 
5/15/2026
49,675
First
Quantum
Minerals,
Ltd.
203,000
6.875%, 
10/15/2027
f
194,754
FMC
Corporation
44,000
5.150%, 
5/18/2026
42,748
Glencore
Funding,
LLC
63,000
4.000%, 
3/27/2027
f
59,135
69,000
6.125%, 
10/6/2028
e,f
68,882
31,000
6.375%, 
10/6/2030
e,f
30,917
Hecla
Mining
Company
45,000
7.250%, 
2/15/2028
43,537
Hudbay
Minerals,
Inc.
135,000
4.500%, 
4/1/2026
f
126,303
Illuminate
Buyer,
LLC/Illuminate
Holdings
IV,
Inc.
99,000
9.000%, 
7/1/2028
f
93,500
International
Flavors
&
Fragrances,
Inc.
75,000
1.230%, 
10/1/2025
f
67,230
Mineral
Resources,
Ltd.
25,000
9.250%, 
10/1/2028
f
25,250
Mosaic
Company
95,000
4.050%, 
11/15/2027
89,173
Novelis
Corporation
75,000
3.250%, 
11/15/2026
f
66,982
40,000
4.750%, 
1/30/2030
f
34,618
50,000
3.875%, 
8/15/2031
f
39,929
Nutrien,
Ltd.
84,000
4.000%, 
12/15/2026
79,614
Olin
Corporation
176,000
5.125%, 
9/15/2027
164,562
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Basic
Materials
(1.8%)
-
continued
Peabody
Energy
Corporation,
Convertible
$
28,000
3.250%, 
3/1/2028
i
$
42,210
SCIL
IV,
LLC/SCIL
USA
Holdings,
LLC
149,000
5.375%, 
11/1/2026
f
136,144
SNF
Group
SACA
134,000
3.375%, 
3/15/2030
f
108,152
SunCoke
Energy,
Inc.
154,000
4.875%, 
6/30/2029
f
130,858
Taseko
Mines,
Ltd.
110,000
7.000%, 
2/15/2026
f
102,754
Unifrax
Escrow
Issuer
Corporation
119,000
5.250%, 
9/30/2028
f
84,745
United
States
Steel
Corporation
153,000
6.875%, 
3/1/2029
i
150,407
United
States
Steel
Corporation,
Convertible
33,000
5.000%, 
11/1/2026
81,279
Westlake
Corporation
42,000
3.600%, 
8/15/2026
39,675
Total
3,003,686
Capital
Goods
(3.8%)
Advanced
Drainage
Systems,
Inc.
94,000
6.375%, 
6/15/2030
f
90,282
AECOM
235,000
5.125%, 
3/15/2027
222,569
Amcor
Finance
USA,
Inc.
38,000
5.625%, 
5/26/2033
36,486
Amphenol
Corporation
46,000
4.750%, 
3/30/2026
45,181
ARD
Finance
SA
48,000
6.500%, 
6/30/2027
f
36,213
Ardagh
Packaging
Finance
plc/
Ardagh
Holdings
USA,
Inc.
109,000
5.250%, 
8/15/2027
f,i
90,960
35,000
5.250%, 
8/15/2027
f
29,207
Boeing
Company
94,000
4.875%, 
5/1/2025
92,385
163,000
2.196%, 
2/4/2026
149,664
63,000
3.250%, 
3/1/2028
56,614
124,000
5.150%, 
5/1/2030
118,482
Bombardier,
Inc.
50,000
7.125%, 
6/15/2026
f
48,443
154,000
7.875%, 
4/15/2027
f
150,265
60,000
6.000%, 
2/15/2028
f
54,432
Brand
Industrial
Services,
Inc.
43,000
10.375%, 
8/1/2030
f
43,066
Builders
FirstSource,
Inc.
80,000
5.000%, 
3/1/2030
f
71,329
Canpack
SA/Canpack
US,
LLC
158,000
3.125%, 
11/1/2025
f
145,752
Carrier
Global
Corporation
85,000
2.722%, 
2/15/2030
70,837
Chart
Industries,
Inc.
143,000
7.500%, 
1/1/2030
f
143,784
Chart
Industries,
Inc.,
Convertible
31,000
1.000%, 
11/15/2024
90,024
Clydesdale
Acquisition
Holdings,
Inc.
21,000
6.625%, 
4/15/2029
f
19,526
41,000
8.750%, 
4/15/2030
f
35,164
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
334
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Capital
Goods
(3.8%)
-
continued
Cornerstone
Building
Brands,
Inc.
$
105,000
6.125%, 
1/15/2029
f
$
79,600
Covanta
Holding
Corporation
86,000
4.875%, 
12/1/2029
f
70,554
CP
Atlas
Buyer,
Inc.
125,000
7.000%, 
12/1/2028
f,i
98,017
Crown
Cork
&
Seal
Company,
Inc.
123,000
7.375%, 
12/15/2026
124,845
Fluor
Corporation,
Convertible
91,000
1.125%, 
8/15/2029
f
94,048
GFL
Environmental,
Inc.
103,000
4.000%, 
8/1/2028
f
89,998
135,000
3.500%, 
9/1/2028
f
116,223
Greenbrier
Companies,
Inc.,
Convertible
61,000
2.875%, 
4/15/2028
57,462
H&E
Equipment
Services,
Inc.
230,000
3.875%, 
12/15/2028
f
196,396
Herc
Holdings,
Inc.
130,000
5.500%, 
7/15/2027
f
122,935
Howmet
Aerospace,
Inc.
59,000
6.750%, 
1/15/2028
59,412
317,000
3.000%, 
1/15/2029
268,328
Huntington
Ingalls
Industries,
Inc.
63,000
4.200%, 
5/1/2030
56,976
Ingersoll
Rand,
Inc.
19,000
5.700%, 
8/14/2033
18,337
John
Deere
Capital
Corporation
30,000
5.150%, 
9/8/2026
29,905
31,000
4.950%, 
7/14/2028
30,572
90,000
2.800%, 
7/18/2029
79,270
37,000
4.700%, 
6/10/2030
35,580
42,000
3.900%, 
6/7/2032
37,837
16,000
5.150%, 
9/8/2033
15,646
Kaman
Corporation,
Convertible
24,000
3.250%, 
5/1/2024
23,297
L3Harris
Technologies,
Inc.
31,000
5.400%, 
1/15/2027
30,730
Mauser
Packaging
Solutions
Holding
Company
70,000
9.250%, 
4/15/2027
f
61,186
MIWD
Holdco
II,
LLC
75,000
5.500%, 
2/1/2030
f
61,968
Mueller
Water
Products,
Inc.
80,000
4.000%, 
6/15/2029
f
69,672
Nesco
Holdings
II,
Inc.
145,000
5.500%, 
4/15/2029
f
127,238
New
Enterprise
Stone
and
Lime
Company,
Inc.
176,000
5.250%, 
7/15/2028
f
157,920
Northrop
Grumman
Corporation
21,000
4.700%, 
3/15/2033
19,606
OI
European
Group
BV
154,000
4.750%, 
2/15/2030
f
133,958
Otis
Worldwide
Corporation
71,000
2.056%, 
4/5/2025
67,031
Owens-Brockway
Glass
Container,
Inc.
73,000
6.625%, 
5/13/2027
f
71,166
Pactiv
Evergreen
Group
100,000
4.375%, 
10/15/2028
f
86,766
Parker-Hannifin
Corporation
35,000
4.250%, 
9/15/2027
33,438
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Capital
Goods
(3.8%)
-
continued
Patrick
Industries,
Inc.,
Convertible
$
24,000
1.750%, 
12/1/2028
$
22,644
PGT
Innovations,
Inc.
136,000
4.375%, 
10/1/2029
f
125,403
Republic
Services,
Inc.
42,000
3.950%, 
5/15/2028
39,423
Roller
Bearing
Company
of
America,
Inc.
109,000
4.375%, 
10/15/2029
f
93,758
Sealed
Air
Corporation
119,000
6.125%, 
2/1/2028
f
115,254
Silgan
Holdings,
Inc.
57,000
4.125%, 
2/1/2028
50,995
SRM
Escrow
Issuer,
LLC
175,000
6.000%, 
11/1/2028
f
161,606
Textron,
Inc.
63,000
3.650%, 
3/15/2027
58,821
Titan
Acquisition,
Ltd./Titan
Co-
Borrower,
LLC
45,000
7.750%, 
4/15/2026
f
44,100
TransDigm,
Inc.
145,000
6.250%, 
3/15/2026
f
142,474
372,000
5.500%, 
11/15/2027
348,322
Triumph
Group,
Inc.
122,000
9.000%, 
3/15/2028
f
120,634
United
Rentals
North
America,
Inc.
162,000
4.875%, 
1/15/2028
151,325
100,000
4.000%, 
7/15/2030
85,222
Veralto
Corporation
35,000
5.350%, 
9/18/2028
f
34,604
Waste
Connections,
Inc.
23,000
3.200%, 
6/1/2032
19,082
Waste
Management,
Inc.
31,000
4.875%, 
2/15/2029
30,312
Waste
Pro
USA,
Inc.
55,000
5.500%, 
2/15/2026
f
51,358
WESCO
Distribution,
Inc.
190,000
7.250%, 
6/15/2028
f
190,922
Total
6,352,841
Collateralized
Mortgage
Obligations
(7.3%)
A&D
Mortgage
Trust
197,239
6.733%, 
7/25/2068,
Ser.
2023-NQM3,
Class
A1
f,g
196,985
Arroyo
Mortgage
Trust
500,000
3.269%, 
12/25/2056,
Ser.
2022-1,
Class
A1B
f,g
416,400
Banc
of
America
Alternative
Loan
Trust
88,895
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
74,294
Banc
of
America
Mortgage
Securities
Trust
100,683
5.499%, 
9/25/2035,
Ser.
2005-H,
Class
3A1
b
90,690
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
86,278
3.831%, 
1/25/2034,
Ser.
2003-8,
Class
5A
b
72,712
22,888
7.670%, 
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
b
21,245
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
335
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Collateralized
Mortgage
Obligations
(7.3%)
-
continued
CAFL
Issuer,
LLC
$
300,000
2.239%, 
3/28/2029,
Ser.
2021-RTL1,
Class
A1
f
$
277,272
ChaseFlex
Trust
154,428
6.500%, 
2/25/2035,
Ser.
2005-1,
Class
1A5
123,851
CHL
Mortgage
Pass-Through
Trust
82,546
4.063%, 
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
78,537
68,229
6.000%, 
4/25/2037,
Ser.
2007-3,
Class
A18
32,122
CHNGE
Mortgage
Trust
245,166
3.757%, 
3/25/2067,
Ser.
2022-2,
Class
A1
b,f
225,092
257,368
5.000%, 
5/25/2067,
Ser.
2022-3,
Class
A1
b,f
248,983
282,132
6.525%, 
6/25/2058,
Ser.
2023-2,
Class
A1
f,g
277,028
535,351
5.820%, 
6/25/2067,
Ser.
2022-NQM1,
Class
A3
f,g
515,170
329,908
6.000%, 
10/25/2057,
Ser.
2022-4,
Class
A1
f,g
321,123
Citigroup
Mortgage
Loan
Trust,
Inc.
191,175
5.500%, 
8/25/2034,
Ser.
2004-NCM2,
Class
1CB1
164,945
297,345
4.259%, 
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
253,714
Countrywide
Alternative
Loan
Trust
78,896
5.000%, 
3/25/2035,
Ser.
2005-3CB,
Class
1A1
63,100
121,607
5.500%, 
5/25/2035,
Ser.
2005-J3,
Class
1A5
94,816
47,122
5.500%, 
10/25/2035,
Ser.
2005-46CB,
Class
A8
32,503
30,620
5.500%, 
2/25/2036,
Ser.
2005-85CB,
Class
2A2
23,391
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
76,567
3.728%, 
11/25/2035,
Ser.
2005-22,
Class
2A1
b
60,966
Credit
Suisse
Mortgage
Trust
241,824
6.567%, 
8/25/2067,
Ser.
2022-ATH3,
Class
A3
b,f
236,030
219,030
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
b,f
173,313
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
109,983
5.250%, 
6/25/2035,
Ser.
2005-3,
Class
4A6
95,399
Eagle
RE,
Ltd.
300,000
9.265%, 
(SOFR30A
+
3.950%),
9/26/2033,
Ser.
2023-1,
Class
M1B
b,e,f
300,000
Federal
Home
Loan
Mortgage
Corporation
351,944
3.500%, 
8/15/2035,
Ser.
345,
Class
C8
j
38,021
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
113,352
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
106,940
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Collateralized
Mortgage
Obligations
(7.3%)
-
continued
$
346,797
Zero
Coupon, 
9/25/2053,
Ser.
5334,
Class
BO
$
258,082
3,387,418
1.500%, 
12/25/2050,
Ser.
5107,
Class
IO
j
281,307
177,502
3.000%, 
5/15/2027,
Ser.
4046,
Class
GI
j
5,583
168,909
3.000%, 
7/15/2027,
Ser.
4084,
Class
NI
j
6,204
283,761
3.500%, 
10/15/2032,
Ser.
4119,
Class
KI
j
27,754
318,854
3.000%, 
4/15/2033,
Ser.
4203,
Class
DI
j
16,120
Federal
National
Mortgage
Association
-
REMIC
174,850
4.500%, 
6/25/2052,
Ser.
2022-43,
Class
MA
166,602
336,175
4.000%, 
7/25/2052,
Ser.
2022-37,
Class
PE
316,223
129,105
3.000%, 
7/25/2027,
Ser.
2012-73,
Class
DI
j
4,238
210,994
3.000%, 
7/25/2027,
Ser.
2012-74,
Class
AI
j
7,133
277,997
3.000%, 
8/25/2027,
Ser.
2012-95,
Class
HI
j
7,334
513,200
3.000%, 
11/25/2027,
Ser.
2012-121,
Class
BI
j
20,485
286,566
3.000%, 
12/25/2027,
Ser.
2012-139,
Class
DI
j
10,506
127,877
2.500%, 
1/25/2028,
Ser.
2012-152,
Class
AI
j
4,416
378,826
3.000%, 
1/25/2028,
Ser.
2012-147,
Class
EI
j
12,481
460,520
3.000%, 
3/25/2028,
Ser.
2013-18,
Class
IL
j
14,333
257,402
2.500%, 
6/25/2028,
Ser.
2013-87,
Class
IW
j
9,893
243,686
3.000%, 
11/25/2031,
Ser.
2013-69,
Class
IO
j
6,641
270,700
3.000%, 
2/25/2033,
Ser.
2013-1,
Class
YI
j
23,132
225,982
4.500%, 
1/25/2046,
Ser.
2022-68,
Class
BA
218,436
First
Horizon
Alternative
Mortgage
Securities
Trust
30,101
6.038%, 
7/25/2035,
Ser.
2005-AA5,
Class
2A1
b
27,114
Flagstar
Mortgage
Trust
282,906
3.000%, 
3/25/2050,
Ser.
2020-1INV,
Class
A3
b,f
231,831
541,454
2.500%, 
8/25/2051,
Ser.
2021-6INV,
Class
A4
b,f
408,565
230,654
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
b,f
191,468
GCAT
Trust
387,463
5.730%, 
8/25/2067,
Ser.
2022-NQM4,
Class
A3
f,g
375,305
Genworth
Mortgage
Insurance
Corporation
120,545
7.215%, 
(SOFR30A
+
1.900%),
2/25/2034,
Ser.
2021-3,
Class
M1A
b,f
120,705
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
336
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Collateralized
Mortgage
Obligations
(7.3%)
-
continued
GMAC
Mortgage
Corporation
Loan
Trust
$
28,758
3.530%, 
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
$
23,280
1,730
4.136%, 
9/19/2035,
Ser.
2005-AR5,
Class
5A1
b
1,609
GS
Mortgage-Backed
Securities
Trust
241,658
5.500%, 
10/27/2053,
Ser.
2023-PJ3,
Class
A16
b,f
233,380
Home
RE,
Ltd.
200,000
8.815%, 
(SOFR30A
+
3.500%),
10/25/2034,
Ser.
2022-1,
Class
M1B
b,f
203,859
IndyMac
IMJA
Mortgage
Loan
Trust
81,350
6.250%, 
11/25/2037,
Ser.
2007-A3,
Class
A1
35,522
IndyMac
INDA
Mortgage
Loan
Trust
500,372
3.803%, 
8/25/2036,
Ser.
2006-AR1,
Class
A1
b
400,347
J.P.
Morgan
Mortgage
Trust
208,299
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
b,f
162,002
369,521
5.000%, 
10/25/2053,
Ser.
2023-3,
Class
A4A
b,f
351,189
36,712
6.500%, 
1/25/2035,
Ser.
2005-S1,
Class
1A2
35,998
33,798
5.134%, 
7/25/2035,
Ser.
2007-A1,
Class
2A1
b
31,549
LHOME
Mortgage
Trust
500,000
2.363%, 
9/25/2026,
Ser.
2021-RTL3,
Class
A1
f,g
484,986
MASTR
Alternative
Loans
Trust
33,792
5.000%, 
3/25/2055,
Ser.
2004-10,
Class
3A1
26,038
Merrill
Lynch
Alternative
Note
Asset
Trust
165,917
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
62,960
MortgageIT
Trust
504,372
5.894%, 
(TSFR1M
+
0.574%),
6/25/2047,
Ser.
2007-1,
Class
1A1
b
404,329
Onslow
Bay
Mortgage
Loan
Trust
307,875
5.700%, 
8/25/2062,
Ser.
2022-NQM7,
Class
A3
f,g
298,806
PRKCM
Trust
94,892
7.087%, 
6/25/2058,
Ser.
2023-AFC2,
Class
A3
f
94,314
Residential
Accredit
Loans,
Inc.
Trust
125,768
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
103,805
53,089
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
39,770
59,715
6.250%, 
4/25/2037,
Ser.
2007-QS6,
Class
A6
46,670
ROC
Securities
Trust
Series
600,000
2.487%, 
8/25/2026,
Ser.
2021-RTL1,
Class
A1
b,f
583,802
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Collateralized
Mortgage
Obligations
(7.3%)
-
continued
Verus
Securitization
Trust
$
380,200
2.137%, 
10/25/2066,
Ser.
2021-7,
Class
A2
b,f
$
305,833
227,931
2.491%, 
11/25/2066,
Ser.
2021-8,
Class
A3
b,f
184,742
270,210
6.560%, 
12/25/2067,
Ser.
2023-1,
Class
A2
f,g
268,019
199,728
2.226%, 
5/25/2060,
Ser.
2020-2,
Class
A1
b,f
194,852
Washington
Mutual
Mortgage
Pass-Through
Certificates
90,628
6.000%, 
3/25/2035,
Ser.
2005-1,
Class
2A
72,178
Total
12,036,372
Commercial
Mortgage-Backed
Securities
(0.9%)
BANK
2022-BNK39
3,986,750
0.533%, 
2/15/2055,
Ser.
2022-BNK39,
Class
XA
b,j
106,878
BANK5
2023-5YR1
200,000
6.625%, 
4/15/2056,
Ser.
2023-5YR1,
Class
AS
b
197,158
BBCMS
Mortgage
Trust
1,622,661
0.839%, 
2/15/2055,
Ser.
2022-C14,
Class
XA
b,j
64,477
1,995,757
1.325%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
b,j
150,556
BFLD
Trust
325,000
7.147%, 
(TSFR1M
+
1.814%),
10/15/2035,
Ser.
2020-EYP,
Class
B
b,f
191,348
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
250,000
4.200%, 
5/25/2033,
Ser.
K-157,
Class
A2
h
229,934
MSWF
Commercial
Mortgage
Trust
375,000
5.752%, 
5/15/2033,
Ser.
2023-1,
Class
A5
369,351
SCOTT
Trust
200,000
5.910%, 
3/15/2040,
Ser.
2023-SFS,
Class
A
f
193,859
Total
1,503,561
Communications
Services
(4.6%)
Allen
Media,
LLC/Allen
Media
Co-
Issuer,
Inc.
123,000
10.500%, 
2/15/2028
f
70,352
Altice
Financing
SA
60,000
5.750%, 
8/15/2029
f
49,172
Altice
France
SA/France
45,000
8.125%, 
2/1/2027
f
39,906
176,000
5.125%, 
7/15/2029
f
125,119
119,000
5.500%, 
10/15/2029
f
85,575
AMC
Networks,
Inc.
60,000
5.000%, 
4/1/2024
59,171
183,000
4.250%, 
2/15/2029
112,288
American
Tower
Corporation
84,000
4.400%, 
2/15/2026
81,328
41,000
1.450%, 
9/15/2026
36,133
68,000
5.500%, 
3/15/2028
66,714
35,000
5.800%, 
11/15/2028
34,737
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
337
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Communications
Services
(4.6%)
-
continued
$
63,000
3.800%, 
8/15/2029
$
56,039
AT&T,
Inc.
123,000
4.300%, 
2/15/2030
112,004
37,000
5.400%, 
2/15/2034
34,628
Bell
Telephone
Company
of
Canada
43,000
5.100%, 
5/11/2033
40,197
Cable
One,
Inc.,
Convertible
94,000
1.125%, 
3/15/2028
69,936
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
37,000
5.500%, 
5/1/2026
f
35,739
190,000
5.125%, 
5/1/2027
f
177,026
136,000
6.375%, 
9/1/2029
f
126,815
269,000
4.750%, 
3/1/2030
f
225,812
203,000
4.750%, 
2/1/2032
f
162,400
133,000
4.250%, 
1/15/2034
f
97,925
Cengage
Learning,
Inc.
6,000
9.500%, 
6/15/2024
f
6,005
CenterPoint
Energy,
Inc.,
Convertible
2,060
3.369%, 
9/15/2029
83,080
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
59,000
4.908%, 
7/23/2025
57,652
63,000
5.050%, 
3/30/2029
58,889
Cimpress
plc
89,000
7.000%, 
6/15/2026
83,296
Clear
Channel
Outdoor
Holdings,
Inc.
27,000
7.500%, 
6/1/2029
f,i
20,645
Clear
Channel
Worldwide
Holdings,
Inc.
211,000
5.125%, 
8/15/2027
f
187,366
Comcast
Corporation
50,000
2.350%, 
1/15/2027
45,286
105,000
3.400%, 
4/1/2030
92,617
Connect
Finco
SARL/Connect
US
Finco,
LLC
73,000
6.750%, 
10/1/2026
f
68,087
Crown
Castle,
Inc.
71,000
2.900%, 
3/15/2027
64,398
CSC
Holdings,
LLC
149,000
5.375%, 
2/1/2028
f
121,303
150,000
6.500%, 
2/1/2029
f
124,265
150,000
4.125%, 
12/1/2030
f
106,157
Deutsche
Telekom
International
Finance
BV
144,000
8.750%, 
6/15/2030
164,944
DIRECTV
Financing,
LLC/DIRECTV
Financing
Co-Obligor,
Inc.
227,000
5.875%, 
8/15/2027
f
200,709
DISH
DBS
Corporation
50,000
5.875%, 
11/15/2024
46,539
65,000
5.250%, 
12/1/2026
f
55,240
53,000
7.375%, 
7/1/2028
33,395
38,000
5.750%, 
12/1/2028
f
29,212
77,000
5.125%, 
6/1/2029
42,687
DISH
Network
Corporation
64,000
11.750%, 
11/15/2027
f
64,478
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Communications
Services
(4.6%)
-
continued
Frontier
Communications
Holdings,
LLC
$
157,000
5.875%, 
10/15/2027
f
$
142,787
58,000
6.750%, 
5/1/2029
f,i
44,624
38,000
8.750%, 
5/15/2030
f
36,080
GCI,
LLC
119,000
4.750%, 
10/15/2028
f
102,637
Gray
Escrow
II,
Inc.
200,000
5.375%, 
11/15/2031
f
130,887
Gray
Television,
Inc.
115,000
4.750%, 
10/15/2030
f
76,184
Hughes
Satellite
Systems
Corporation
60,000
6.625%, 
8/1/2026
51,300
Iliad
Holding
SASU
179,000
6.500%, 
10/15/2026
f
168,173
Lamar
Media
Corporation
78,000
3.625%, 
1/15/2031
63,520
LCPR
Senior
Secured
Financing
DAC
103,000
6.750%, 
10/15/2027
f
94,606
Level
3
Financing,
Inc.
107,000
4.625%, 
9/15/2027
f
76,951
168,000
4.250%, 
7/1/2028
f
104,670
69,000
10.500%, 
5/15/2030
f
69,455
McGraw-Hill
Education,
Inc.
99,000
5.750%, 
8/1/2028
f
85,412
10,000
8.000%, 
8/1/2029
f
8,675
Meta
Platforms,
Inc.
42,000
4.600%, 
5/15/2028
41,085
44,000
4.800%, 
5/15/2030
42,858
News
Corporation
137,000
3.875%, 
5/15/2029
f
117,820
NTT
Finance
Corporation
51,000
1.162%, 
4/3/2026
f
45,777
Outfront
Media
Capital,
LLC/
Outfront
Media
Capital
Corporation
65,000
6.250%, 
6/15/2025
f
63,682
54,000
4.625%, 
3/15/2030
f,i
42,450
Paramount
Global
85,000
6.375%, 
3/30/2062
b
66,760
41,000
4.750%, 
5/15/2025
39,878
Playtika
Holding
Corporation
129,000
4.250%, 
3/15/2029
f
107,715
Radiate
Holdco,
LLC/Radiate
Finance,
Inc.
65,000
6.500%, 
9/15/2028
f
34,125
Rogers
Communications,
Inc.
50,000
5.250%, 
3/15/2082
b,f
44,214
Scripps
Escrow
II,
Inc.
56,000
3.875%, 
1/15/2029
f
42,114
Sirius
XM
Radio,
Inc.
68,000
5.000%, 
8/1/2027
f
62,111
165,000
4.000%, 
7/15/2028
f
140,839
30,000
4.125%, 
7/1/2030
f
24,018
Sprint
Capital
Corporation
83,000
6.875%, 
11/15/2028
85,697
65,000
8.750%, 
3/15/2032
75,195
TEGNA,
Inc.
183,000
4.625%, 
3/15/2028
158,295
Telecom
Italia
Capital
SA
43,000
6.000%, 
9/30/2034
35,853
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
338
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Communications
Services
(4.6%)
-
continued
Telecom
Italia
SPA/Milano
$
59,000
5.303%, 
5/30/2024
f
$
58,008
Telesat
Canada/Telesat,
LLC
70,000
4.875%, 
6/1/2027
f
45,361
25,000
6.500%, 
10/15/2027
f
12,750
T-Mobile
USA,
Inc.
50,000
3.500%, 
4/15/2025
48,245
70,000
3.375%, 
4/15/2029
61,568
United
States
Cellular
Corporation
125,000
6.700%, 
12/15/2033
121,563
Uniti
Group,
LP/Uniti
Group
Finance,
Inc./CSL
Capital,
LLC
186,000
4.750%, 
4/15/2028
f
151,884
Univision
Communications,
Inc.
138,000
6.625%, 
6/1/2027
f
128,523
Verizon
Communications,
Inc.
84,000
2.100%, 
3/22/2028
72,151
132,000
3.150%, 
3/22/2030
112,667
106,000
2.550%, 
3/21/2031
84,401
94,000
2.355%, 
3/15/2032
71,718
Vodafone
Group
plc
48,000
7.000%, 
4/4/2079
b
47,674
VTR
Finance
NV
80,000
6.375%, 
7/15/2028
f
29,859
VZ
Secured
Financing
BV
122,000
5.000%, 
1/15/2032
f
95,838
Walt
Disney
Company
42,000
3.800%, 
3/22/2030
38,097
Warnermedia
Holdings,
Inc.
47,000
3.638%, 
3/15/2025
45,331
141,000
4.054%, 
3/15/2029
125,626
YPSO
Finance
BIS
SA
62,000
10.500%, 
5/15/2027
f
38,668
Total
7,571,645
Consumer
Cyclical
(6.3%)
1011778
B.C.,
ULC/New
Red
Finance,
Inc.
205,000
4.375%, 
1/15/2028
f
184,776
Adient
Global
Holdings,
Ltd.
78,000
4.875%, 
8/15/2026
f
73,565
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation
60,000
6.625%, 
7/15/2026
f
56,852
109,000
6.000%, 
6/1/2029
f
81,258
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation/
Atlas
Luxco
4
SARL
190,000
4.625%, 
6/1/2028
f
158,338
Allison
Transmission,
Inc.
78,000
3.750%, 
1/30/2031
f
63,055
Amazon.com,
Inc.
42,000
1.500%, 
6/3/2030
33,250
86,000
4.700%, 
12/1/2032
82,110
American
Axle
&
Manufacturing,
Inc.
196,000
6.500%, 
4/1/2027
186,088
American
Honda
Finance
Corporation
46,000
4.600%, 
4/17/2030
43,634
Arko
Corporation
88,000
5.125%, 
11/15/2029
f
70,976
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Consumer
Cyclical
(6.3%)
-
continued
Ashton
Woods
USA,
LLC/Ashton
Woods
Finance
Company
$
80,000
4.625%, 
8/1/2029
f
$
67,509
63,000
4.625%, 
4/1/2030
f
51,571
Best
Buy
Company,
Inc.
42,000
1.950%, 
10/1/2030
32,748
Bloomin'
Brands,
Inc.,
Convertible
2,000
5.000%, 
5/1/2025
4,379
Booking
Holdings,
Inc.,
Convertible
29,000
0.750%, 
5/1/2025
48,430
Boyd
Gaming
Corporation
105,000
4.750%, 
6/15/2031
f
89,352
Boyne
USA,
Inc.
52,000
4.750%, 
5/15/2029
f
45,482
Brookfield
Residential
Properties,
Inc./Brookfield
Residential
US,
LLC
77,000
6.250%, 
9/15/2027
f
69,325
Burlington
Stores,
Inc.,
Convertible
50,000
2.250%, 
4/15/2025
48,470
Caesars
Entertainment,
Inc.
159,000
6.250%, 
7/1/2025
f
156,824
55,000
8.125%, 
7/1/2027
f
55,262
136,000
4.625%, 
10/15/2029
f
115,200
Carnival
Corporation
97,000
7.625%, 
3/1/2026
f
94,360
211,000
5.750%, 
3/1/2027
f
191,002
56,000
4.000%, 
8/1/2028
f
48,556
Cedar
Fair,
LP
139,000
5.250%, 
7/15/2029
120,805
Churchill
Downs,
Inc.
75,000
4.750%, 
1/15/2028
f
67,653
57,000
6.750%, 
5/1/2031
f
53,865
Cinemark
USA,
Inc.
160,000
5.875%, 
3/15/2026
f,i
153,619
Clarios
Global,
LP/Clarios
US
Finance
Company,
Inc.
55,000
8.500%, 
5/15/2027
f,i
54,842
141,000
6.750%, 
5/15/2028
f
137,651
Cracker
Barrel
Old
Country
Store,
Inc.,
Convertible
3,000
0.625%, 
6/15/2026
2,477
D.R.
Horton,
Inc.
21,000
2.600%, 
10/15/2025
19,650
Expedia
Group,
Inc.
73,000
3.250%, 
2/15/2030
61,744
Expedia
Group,
Inc.,
Convertible
99,000
Zero
Coupon, 
2/15/2026
86,011
Ford
Motor
Company
222,000
3.250%, 
2/12/2032
171,087
127,000
6.100%, 
8/19/2032
i
119,623
Ford
Motor
Company,
Convertible
113,000
Zero
Coupon, 
3/15/2026
111,023
Ford
Motor
Credit
Company,
LLC
160,000
2.300%, 
2/10/2025
150,075
220,000
4.134%, 
8/4/2025
208,578
303,000
2.700%, 
8/10/2026
270,387
80,000
2.900%, 
2/10/2029
65,656
Forestar
Group,
Inc.
97,000
3.850%, 
5/15/2026
f
88,046
General
Motors
Company
63,000
6.800%, 
10/1/2027
64,292
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
339
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Consumer
Cyclical
(6.3%)
-
continued
General
Motors
Financial
Company,
Inc.
$
80,000
3.950%, 
4/13/2024
$
78,929
38,000
1.200%, 
10/15/2024
36,117
145,000
2.900%, 
2/26/2025
138,339
41,000
2.750%, 
6/20/2025
38,597
20,000
5.800%, 
6/23/2028
19,538
44,000
5.700%, 
9/30/2030
b,k
37,603
Goodyear
Tire
&
Rubber
Company
70,000
5.000%, 
7/15/2029
60,292
Guitar
Center
Escrow
Issuer
II,
Inc.
41,000
8.500%, 
1/15/2026
f,i
35,609
Hanesbrands,
Inc.
118,000
4.875%, 
5/15/2026
f,i
108,178
Hilton
Domestic
Operating
Company,
Inc.
162,000
4.875%, 
1/15/2030
147,433
57,000
3.625%, 
2/15/2032
f
45,953
Hilton
Grand
Vacations
Borrower
Escrow,
LLC/Hilton
Grand
Vacations
Borrower
Escrow,
Inc.
91,000
5.000%, 
6/1/2029
f
78,938
Home
Depot,
Inc.
68,000
3.250%, 
4/15/2032
58,341
Hyatt
Hotels
Corporation
37,000
5.750%, 
1/30/2027
36,763
Hyundai
Capital
America
33,000
5.500%, 
3/30/2026
f
32,567
63,000
3.000%, 
2/10/2027
f
57,078
40,000
2.100%, 
9/15/2028
f
33,189
International
Game
Technology
plc
182,000
5.250%, 
1/15/2029
f
167,715
Jacobs
Entertainment,
Inc.
83,000
6.750%, 
2/15/2029
f
73,663
Jaguar
Land
Rover
Automotive
plc
150,000
5.500%, 
7/15/2029
f
128,249
KB
Home
100,000
4.800%, 
11/15/2029
88,000
Kohl's
Corporation
39,000
4.625%, 
5/1/2031
26,210
L
Brands,
Inc.
209,000
6.625%, 
10/1/2030
f
195,940
30,000
6.875%, 
11/1/2035
26,793
Lennar
Corporation
41,000
4.750%, 
5/30/2025
40,110
Light
&
Wonder
International,
Inc.
125,000
7.250%, 
11/15/2029
f
122,500
Live
Nation
Entertainment,
Inc.,
Convertible
61,000
2.000%, 
2/15/2025
62,126
78,000
3.125%, 
1/15/2029
f
80,886
Lowe's
Companies,
Inc.
98,000
4.500%, 
4/15/2030
91,445
Macy's
Retail
Holdings,
LLC
120,000
5.875%, 
4/1/2029
f,i
105,071
Marriott
International,
Inc./MD
46,000
4.900%, 
4/15/2029
43,859
62,000
4.625%, 
6/15/2030
57,112
Marriott
Vacations
Worldwide
Corporation,
Convertible
47,000
Zero
Coupon, 
1/15/2026
41,149
48,000
3.250%, 
12/15/2027
f
41,880
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Consumer
Cyclical
(6.3%)
-
continued
Mattamy
Group
Corporation
$
115,000
5.250%, 
12/15/2027
f
$
104,953
McDonald's
Corporation
40,000
4.950%, 
8/14/2033
38,155
Mercedes-Benz
Finance
North
America,
LLC
63,000
1.450%, 
3/2/2026
f
57,118
36,000
5.200%, 
8/3/2026
f
35,636
Michaels
Companies,
Inc.
100,000
5.250%, 
5/1/2028
f,i
79,810
NCL
Corporation,
Ltd.
52,000
3.625%, 
12/15/2024
f
49,936
39,000
5.875%, 
3/15/2026
f
36,006
80,000
5.875%, 
2/15/2027
f
76,077
Nissan
Motor
Company,
Ltd.
50,000
3.522%, 
9/17/2025
f
47,223
51,000
4.345%, 
9/17/2027
f
46,553
64,000
4.810%, 
9/17/2030
f
55,200
Nordstrom,
Inc.
46,000
4.375%, 
4/1/2030
35,388
64,000
4.250%, 
8/1/2031
i
46,414
O'Reilly
Automotive,
Inc.
63,000
3.900%, 
6/1/2029
58,005
PENN
Entertainment,
Inc.
170,000
4.125%, 
7/1/2029
f,i
138,921
PetSmart,
Inc./PetSmart
Finance
Corporation
195,000
4.750%, 
2/15/2028
f
170,710
68,000
7.750%, 
2/15/2029
f
63,368
Prime
Security
Services
Borrower,
LLC/Prime
Finance,
Inc.
178,000
5.750%, 
4/15/2026
f
172,690
108,000
6.250%, 
1/15/2028
f,i
100,026
Realogy
Group,
LLC/Realogy
Group
Co-Issuer
Corporation
165,000
5.750%, 
1/15/2029
f
119,287
Royal
Caribbean
Cruises,
Ltd.
21,000
11.500%, 
6/1/2025
f
22,168
202,000
4.250%, 
7/1/2026
f
185,212
81,000
9.250%, 
1/15/2029
f
85,571
46,000
7.250%, 
1/15/2030
f
45,590
SeaWorld
Parks
and
Entertainment,
Inc.
86,000
5.250%, 
8/15/2029
f
75,542
Six
Flags
Theme
Parks,
Inc.
38,000
7.000%, 
7/1/2025
f
37,904
Staples,
Inc.
118,000
7.500%, 
4/15/2026
f
97,037
79,000
10.750%, 
4/15/2027
f
46,377
Station
Casinos,
LLC
107,000
4.625%, 
12/1/2031
f
85,588
Tapestry,
Inc.
45,000
3.050%, 
3/15/2032
32,966
Target
Corporation
88,000
2.350%, 
2/15/2030
73,544
Tenneco,
Inc.
89,000
8.000%, 
11/17/2028
f
72,424
Toyota
Motor
Credit
Corporation
42,000
4.700%, 
1/12/2033
39,688
Tractor
Supply
Company
44,000
5.250%, 
5/15/2033
41,547
Tripadvisor,
Inc.
30,000
7.000%, 
7/15/2025
f
29,943
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
340
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Consumer
Cyclical
(6.3%)
-
continued
Uber
Technologies,
Inc.
$
135,000
6.250%, 
1/15/2028
f
$
132,012
Uber
Technologies,
Inc.,
Convertible
78,000
Zero
Coupon, 
12/15/2025
72,767
Vail
Resorts,
Inc.,
Convertible
82,000
Zero
Coupon, 
1/1/2026
72,160
VICI
Properties,
LP/VICI
Note
Company,
Inc.
202,000
5.750%, 
2/1/2027
f
195,550
73,000
3.750%, 
2/15/2027
f
66,241
Viking
Cruises,
Ltd.
185,000
5.875%, 
9/15/2027
f
168,850
Volkswagen
Group
of
America
Finance,
LLC
99,000
4.250%, 
11/13/2023
f
98,792
21,000
3.350%, 
5/13/2025
f
20,124
Wabash
National
Corporation
141,000
4.500%, 
10/15/2028
f
118,773
Walmart,
Inc.
67,000
4.000%, 
4/15/2030
62,926
Wyndham
Hotels
&
Resorts,
Inc.
60,000
4.375%, 
8/15/2028
f
53,891
Yum!
Brands,
Inc.
140,000
4.750%, 
1/15/2030
f
125,751
ZF
North
America
Capital,
Inc.
77,000
7.125%, 
4/14/2030
f
75,443
Total
10,361,485
Consumer
Non-Cyclical
(5.3%)
1375209
B.C.,
Ltd.
107,000
9.000%, 
1/30/2028
f
105,767
Abbott
Laboratories
151,000
1.400%, 
6/30/2030
119,973
AbbVie,
Inc.
268,000
3.600%, 
5/14/2025
259,009
AdaptHealth,
LLC
72,000
4.625%, 
8/1/2029
f
55,260
Albertsons
Companies,
Inc./
Safeway,
Inc./New
Albertsons,
LP/Albertsons,
LLC
184,000
4.625%, 
1/15/2027
f
173,736
138,000
3.500%, 
3/15/2029
f
117,657
Amgen,
Inc.
62,000
5.150%, 
3/2/2028
60,977
107,000
5.250%, 
3/2/2030
104,538
Anheuser-Busch
InBev
Worldwide,
Inc.
90,000
4.000%, 
4/13/2028
85,166
84,000
4.750%, 
1/23/2029
81,443
Archer-Daniels-Midland
Company
43,000
4.500%, 
8/15/2033
39,969
AstraZeneca
Finance,
LLC
98,000
1.750%, 
5/28/2028
83,884
B&G
Foods,
Inc.
96,000
5.250%, 
4/1/2025
94,207
59,000
5.250%, 
9/15/2027
49,411
66,000
8.000%, 
9/15/2028
f
66,090
BAT
Capital
Corporation
40,000
6.343%, 
8/2/2030
39,399
43,000
7.750%, 
10/19/2032
45,420
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Consumer
Non-Cyclical
(5.3%)
-
continued
Bausch
&
Lomb
Escrow
Corporation
$
25,000
8.375%, 
10/1/2028
f
$
25,074
Bausch
Health
Companies,
Inc.
55,000
5.500%, 
11/1/2025
f,i
48,709
120,000
4.875%, 
6/1/2028
f
68,242
106,000
11.000%, 
9/30/2028
f
71,916
Becton,
Dickinson
and
Company
48,000
4.693%, 
2/13/2028
46,535
63,000
2.823%, 
5/20/2030
53,040
BellRing
Brands,
Inc.
80,000
7.000%, 
3/15/2030
f
78,773
BioMarin
Pharmaceutical,
Inc.,
Convertible
68,000
1.250%, 
5/15/2027
i
67,361
Bio-Rad
Laboratories,
Inc.
70,000
3.300%, 
3/15/2027
64,514
Cargill,
Inc.
88,000
2.125%, 
11/10/2031
f
68,535
Catalent
Pharma
Solutions,
Inc.
90,000
3.125%, 
2/15/2029
f,i
73,818
Central
Garden
&
Pet
Company
145,000
4.125%, 
10/15/2030
120,889
Cheplapharm
Arzneimittel
GmbH
20,000
5.500%, 
1/15/2028
f
18,147
Chobani,
LLC/Chobani
Finance
Corporation,
Inc.
150,000
4.625%, 
11/15/2028
f
132,297
CHS/Community
Health
Systems,
Inc.
98,000
5.625%, 
3/15/2027
f
84,056
36,000
8.000%, 
12/15/2027
f
33,570
132,000
6.000%, 
1/15/2029
f
106,601
49,000
5.250%, 
5/15/2030
f
37,249
57,000
4.750%, 
2/15/2031
f
40,340
Cigna
Group
58,000
2.400%, 
3/15/2030
47,625
Constellation
Brands,
Inc.
84,000
3.150%, 
8/1/2029
73,595
28,000
4.900%, 
5/1/2033
25,987
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US,
LLC
174,000
4.750%, 
1/15/2029
f
156,908
24,000
6.625%, 
7/15/2030
f
23,432
CVS
Health
Corporation
47,000
5.000%, 
2/20/2026
46,270
33,000
4.300%, 
3/25/2028
31,232
47,000
5.125%, 
2/21/2030
45,206
37,000
5.300%, 
6/1/2033
35,045
Diageo
Capital
plc
39,000
2.000%, 
4/29/2030
31,639
Edgewell
Personal
Care
Company
80,000
5.500%, 
6/1/2028
f
73,900
Eli
Lilly
&
Company
87,000
4.700%, 
2/27/2033
83,752
Embecta
Corporation
48,000
6.750%, 
2/15/2030
f
39,240
Encompass
Health
Corporation
180,000
4.500%, 
2/1/2028
164,001
Energizer
Holdings,
Inc.
25,000
4.750%, 
6/15/2028
f
21,592
130,000
4.375%, 
3/31/2029
f
108,491
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
341
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Consumer
Non-Cyclical
(5.3%)
-
continued
Envista
Holdings
Corporation,
Convertible
$
10,000
1.750%, 
8/15/2028
$
9,210
Fortrea
Holdings,
Inc.
36,000
7.500%, 
7/1/2030
f
35,029
General
Mills,
Inc.
18,000
4.950%, 
3/29/2033
16,866
Gilead
Sciences,
Inc.
30,000
5.250%, 
10/15/2033
29,262
Grifols
SA
125,000
4.750%, 
10/15/2028
f
106,576
HLF
Financing
SARL,
LLC/
Herbalife
International,
Inc.
196,000
4.875%, 
6/1/2029
f
139,160
Imperial
Brands
Finance
plc
34,000
3.125%, 
7/26/2024
f
33,133
Integer
Holdings
Corporation,
Convertible
69,000
2.125%, 
2/15/2028
f
74,968
Jazz
Investments
I,
Ltd.,
Convertible
83,000
2.000%, 
6/15/2026
84,504
Jazz
Securities
DAC
78,000
4.375%, 
1/15/2029
f
68,007
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
Luxembourg
SARL
35,000
6.750%, 
3/15/2034
f
34,055
JBS
USA
LUX
SA/JBS
USA
Food
Company/JBS
USA
Finance,
Inc.
114,000
2.500%, 
1/15/2027
100,698
49,000
3.625%, 
1/15/2032
39,014
Kenvue,
Inc.
23,000
5.000%, 
3/22/2030
f
22,409
Keurig
Dr.
Pepper,
Inc.
72,000
3.200%, 
5/1/2030
62,091
Kraft
Heinz
Foods
Company
96,000
3.875%, 
5/15/2027
90,439
45,000
6.750%, 
3/15/2032
47,522
Kroger
Company
42,000
4.500%, 
1/15/2029
39,897
Lamb
Weston
Holdings,
Inc.
82,000
4.125%, 
1/31/2030
f
70,122
Legacy
LifePoint
Health,
LLC
53,000
4.375%, 
2/15/2027
f
45,580
LifePoint
Health,
Inc.
50,000
11.000%, 
10/15/2030
f
50,000
Mattel,
Inc.
137,000
3.375%, 
4/1/2026
f
126,684
McKesson
Corporation
41,000
0.900%, 
12/3/2025
37,040
134,000
1.300%, 
8/15/2026
119,242
Medtronic
Global
Holdings
SCA
45,000
4.500%, 
3/30/2033
41,920
ModivCare
Escrow
Issuer,
Inc.
45,000
5.000%, 
10/1/2029
f
32,288
ModivCare,
Inc.
36,000
5.875%, 
11/15/2025
f
34,220
Mozart
Debt
Merger
Sub,
Inc.
122,000
3.875%, 
4/1/2029
f
103,142
96,000
5.250%, 
10/1/2029
f,i
82,972
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Consumer
Non-Cyclical
(5.3%)
-
continued
Mylan,
Inc.
$
34,000
4.200%, 
11/29/2023
$
33,893
Nestle
Holdings,
Inc.
88,000
4.950%, 
3/14/2030
f
86,448
Newell
Brands,
Inc.
111,000
4.700%, 
4/1/2026
104,606
Organon
&
Company/Organon
Foreign
Debt
Co-Issuer
BV
128,000
4.125%, 
4/30/2028
f
111,220
74,000
5.125%, 
4/30/2031
f
59,300
Owens
&
Minor,
Inc.
121,000
6.625%, 
4/1/2030
f,i
107,398
Perrigo
Finance
Unlimited
Company
130,000
4.375%, 
3/15/2026
121,553
Pfizer
Investment
Enterprises
Pte,
Ltd.
57,000
4.450%, 
5/19/2026
55,684
39,000
4.750%, 
5/19/2033
36,866
Philip
Morris
International,
Inc.
131,000
4.875%, 
2/13/2026
128,849
88,000
4.875%, 
2/15/2028
85,252
43,000
5.625%, 
11/17/2029
42,512
43,000
5.750%, 
11/17/2032
41,956
Post
Holdings,
Inc.
119,000
4.500%, 
9/15/2031
f
99,043
Post
Holdings,
Inc.,
Convertible
45,000
2.500%, 
8/15/2027
44,618
Primo
Water
Holdings,
Inc.
119,000
4.375%, 
4/30/2029
f
101,745
Procter
&
Gamble
Company
42,000
1.200%, 
10/29/2030
32,509
RegionalCare
Hospital
Partners
Holdings,
Inc./LifePoint
Health,
Inc.
53,000
9.750%, 
12/1/2026
f
51,310
Roche
Holdings,
Inc.
39,000
1.930%, 
12/13/2028
f
33,301
68,000
2.076%, 
12/13/2031
f
53,658
Royalty
Pharma
plc
97,000
1.200%, 
9/2/2025
88,149
Scotts
Miracle-Gro
Company
50,000
4.500%, 
10/15/2029
40,876
SEG
Holding,
LLC
195,000
5.625%, 
10/15/2028
f
195,488
Simmons
Foods,
Inc.
103,000
4.625%, 
3/1/2029
f
84,493
Spectrum
Brands,
Inc.
95,000
5.000%, 
10/1/2029
f
86,080
60,000
5.500%, 
7/15/2030
f
54,402
Star
Parent,
Inc.
82,000
9.000%, 
10/1/2030
f
82,861
Stryker
Corporation
85,000
3.650%, 
3/7/2028
79,301
Sysco
Corporation
42,000
5.950%, 
4/1/2030
42,348
Takeda
Pharmaceutical
Company,
Ltd.
75,000
5.000%, 
11/26/2028
73,399
Tenet
Healthcare
Corporation
435,000
5.125%, 
11/1/2027
404,826
55,000
6.125%, 
10/1/2028
51,631
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
342
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Consumer
Non-Cyclical
(5.3%)
-
continued
Teva
Pharmaceutical
Finance
Netherlands
III
BV
$
97,000
3.150%, 
10/1/2026
$
86,453
Topgolf
Callaway
Brands
Corporation,
Convertible
17,000
2.750%, 
5/1/2026
17,637
TreeHouse
Foods,
Inc.
123,000
4.000%, 
9/1/2028
i
99,784
Winnebago
Industries,
Inc.,
Convertible
37,000
1.500%, 
4/1/2025
41,366
Wyeth,
LLC
106,000
6.500%, 
2/1/2034
114,001
Zoetis,
Inc.
56,000
5.600%, 
11/16/2032
55,745
Total
8,736,098
Energy
(4.6%)
Antero
Midstream
Partners,
LP/
Antero
Midstream
Finance
Corporation
32,000
5.375%, 
6/15/2029
f
29,299
Antero
Resources
Corporation
48,000
5.375%, 
3/1/2030
f
44,192
Archrock
Partners,
LP/Archrock
Partners
Finance
Corporation
167,000
6.250%, 
4/1/2028
f
155,481
Baytex
Energy
Corporation
90,000
8.500%, 
4/30/2030
f
91,064
BP
Capital
Markets
America,
Inc.
169,000
4.234%, 
11/6/2028
160,696
61,000
4.812%, 
2/13/2033
57,089
BP
Capital
Markets
plc
74,000
4.875%, 
3/22/2030
b,k
66,113
Buckeye
Partners,
LP
130,000
3.950%, 
12/1/2026
116,739
Callon
Petroleum
Company
63,000
7.500%, 
6/15/2030
f
61,083
Cheniere
Energy
Partners,
LP
42,000
4.500%, 
10/1/2029
38,030
41,000
3.250%, 
1/31/2032
32,587
52,000
5.950%, 
6/30/2033
f
50,152
Chesapeake
Energy
Corporation
69,000
6.750%, 
4/15/2029
f
67,524
Chord
Energy
Corporation
68,000
6.375%, 
6/1/2026
f
66,675
Civitas
Resources,
Inc.
41,000
8.375%, 
7/1/2028
f
41,718
56,000
8.750%, 
7/1/2031
f
57,202
CNX
Resources
Corporation
53,000
6.000%, 
1/15/2029
f
49,525
CNX
Resources
Corporation,
Convertible
59,000
2.250%, 
5/1/2026
106,672
Columbia
Pipelines
Holding
Company,
LLC
34,000
6.055%, 
8/15/2026
f
34,107
77,000
6.042%, 
8/15/2028
f
76,610
Comstock
Resources,
Inc.
62,000
6.750%, 
3/1/2029
f
57,033
26,000
5.875%, 
1/15/2030
f
22,506
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Energy
(4.6%)
-
continued
CQP
Holdco,
LP/BIP-V
Chinnok
Holdco,
LLC
$
113,000
5.500%, 
6/15/2031
f
$
100,157
Crescent
Energy
Finance,
LLC
99,000
9.250%, 
2/15/2028
f
101,074
CrownRock,
LP/CrownRock
Finance,
Inc.
82,000
5.625%, 
10/15/2025
f
80,684
Diamond
Foreign
Asset
Company/
Diamond
Finance,
LLC
33,000
8.500%, 
10/1/2030
f
33,005
Diamondback
Energy,
Inc.
111,000
3.125%, 
3/24/2031
92,461
DT
Midstream,
Inc.
67,000
4.125%, 
6/15/2029
f
57,958
35,000
4.375%, 
6/15/2031
f
29,432
Enbridge,
Inc.
50,000
7.375%, 
1/15/2083
b
47,548
50,000
7.625%, 
1/15/2083
b
47,743
42,000
3.700%, 
7/15/2027
39,044
22,000
5.700%, 
3/8/2033
21,076
Enerflex,
Ltd.
78,000
9.000%, 
10/15/2027
f
77,025
Energy
Transfer,
LP
50,000
6.750%, 
5/15/2025
b,k
46,208
63,000
3.750%, 
5/15/2030
54,879
EnLink
Midstream
Partners,
LP
135,000
4.850%, 
7/15/2026
127,097
Enterprise
Products
Operating,
LLC
42,000
4.150%, 
10/16/2028
39,376
53,000
8.619%, 
(TSFR3M
+
3.248%),
8/16/2077
b
52,356
EQM
Midstream
Partners,
LP
248,000
4.750%, 
1/15/2031
f
213,463
EQT
Corporation,
Convertible
33,000
1.750%, 
5/1/2026
91,595
Ferrellgas,
LP/Ferrellgas
Finance
Corporation
102,000
5.375%, 
4/1/2026
f
95,604
Genesis
Energy
LP/Genesis
Energy
Finance
Corporation
132,000
8.875%, 
4/15/2030
128,883
Harvest
Midstream,
LP
170,000
7.500%, 
9/1/2028
f
164,327
Hess
Midstream
Operations,
LP
80,000
5.625%, 
2/15/2026
f
77,300
Hilcorp
Energy
I,
LP/Hilcorp
Finance
Company
115,000
5.750%, 
2/1/2029
f
103,844
111,000
6.250%, 
4/15/2032
f
98,696
Howard
Midstream
Energy
Partners,
LLC
152,000
6.750%, 
1/15/2027
f
144,400
ITT
Holdings,
LLC
132,000
6.500%, 
8/1/2029
f
111,886
Laredo
Petroleum,
Inc.
156,000
7.750%, 
7/31/2029
f
145,131
Marathon
Oil
Corporation
42,000
4.400%, 
7/15/2027
39,504
MEG
Energy
Corporation
118,000
5.875%, 
2/1/2029
f
110,197
MPLX,
LP
105,000
1.750%, 
3/1/2026
95,209
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
343
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Energy
(4.6%)
-
continued
$
21,000
5.000%, 
3/1/2033
$
19,136
Murphy
Oil
Corporation
97,000
5.875%, 
12/1/2027
94,129
Nabors
Industries,
Ltd.
160,000
7.250%, 
1/15/2026
f
154,600
National
Fuel
Gas
Company
92,000
5.500%, 
1/15/2026
90,479
Noble
Finance
II,
LLC
95,000
8.000%, 
4/15/2030
f
96,242
Northern
Oil
and
Gas,
Inc.
92,000
8.750%, 
6/15/2031
f
92,690
Northern
Oil
and
Gas,
Inc.,
Convertible
48,000
3.625%, 
4/15/2029
f
59,294
Northriver
Midstream
Finance,
LP
47,000
5.625%, 
2/15/2026
f
44,789
NuStar
Logistics,
LP
72,000
5.750%, 
10/1/2025
70,020
Occidental
Petroleum
Corporation
64,000
6.375%, 
9/1/2028
64,477
ONEOK,
Inc.
63,000
2.200%, 
9/15/2025
58,622
33,000
5.550%, 
11/1/2026
32,785
42,000
5.650%, 
11/1/2028
41,456
Ovintiv,
Inc.
25,000
5.650%, 
5/15/2025
24,857
15,000
5.650%, 
5/15/2028
14,672
33,000
6.250%, 
7/15/2033
31,908
PBF
Holding
Company,
LLC/PBF
Finance
Corporation
65,000
6.000%, 
2/15/2028
61,306
Permian
Resources
Operating,
LLC
74,000
7.000%, 
1/15/2032
f
72,980
Permian
Resources
Operating,
LLC,
Convertible
18,000
3.250%, 
4/1/2028
42,491
Phillips
66
Company
66,000
4.950%, 
12/1/2027
64,678
Pioneer
Natural
Resources
Company
63,000
1.900%, 
8/15/2030
49,427
Pioneer
Natural
Resources
Company,
Convertible
39,000
0.250%, 
5/15/2025
95,527
Plains
All
American
Pipeline,
LP
2,000
9.736%, 
(TSFR3M
+
4.372%),
11/2/2023
b,k
1,887
Plains
All
American
Pipeline,
LP/
PAA
Finance
Corporation
103,000
4.650%, 
10/15/2025
100,006
Precision
Drilling
Corporation
117,000
6.875%, 
1/15/2029
f
110,823
Range
Resources
Corporation
73,000
4.750%, 
2/15/2030
f
64,788
Rockcliff
Energy
II,
LLC
96,000
5.500%, 
10/15/2029
f
86,397
Rockies
Express
Pipeline,
LLC
24,000
4.950%, 
7/15/2029
f
21,377
Schlumberger
Holdings
Corporation
27,000
4.300%, 
5/1/2029
f
25,319
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Energy
(4.6%)
-
continued
SM
Energy
Company
$
43,000
6.625%, 
1/15/2027
$
42,140
55,000
6.500%, 
7/15/2028
52,800
Southwestern
Energy
Company
66,000
5.375%, 
3/15/2030
60,129
71,000
4.750%, 
2/1/2032
60,938
Suburban
Propane
Partners,
LP/
Suburban
Energy
Finance
Corporation
17,000
5.875%, 
3/1/2027
16,235
Suncor
Energy,
Inc.
43,000
7.150%, 
2/1/2032
45,232
Sunoco,
LP/Sunoco
Finance
Corporation
65,000
5.875%, 
3/15/2028
62,355
95,000
4.500%, 
4/30/2030
82,267
Tallgrass
Energy
Partners
LP/
Tallgrass
Energy
Finance
Corporation
154,000
5.500%, 
1/15/2028
f
140,140
Targa
Resources
Partners,
LP
115,000
4.875%, 
2/1/2031
103,000
Teine
Energy,
Ltd.
95,000
6.875%, 
4/15/2029
f
87,163
TransCanada
Trust
90,000
5.875%, 
8/15/2076
b
82,061
Transocean,
Inc.
97,000
11.500%, 
1/30/2027
f
101,729
USA
Compression
Partners,
LP/
USA
Compression
Finance
Corporation
139,000
6.875%, 
4/1/2026
136,157
Valaris,
Ltd.
89,000
8.375%, 
4/30/2030
f
89,067
Venture
Global
Calcasieu
Pass,
LLC
184,000
3.875%, 
8/15/2029
f
154,832
62,000
6.250%, 
1/15/2030
f
59,140
70,000
4.125%, 
8/15/2031
f
57,443
Weatherford
International,
Ltd.
141,000
8.625%, 
4/30/2030
f
142,079
Williams
Companies,
Inc.
42,000
2.600%, 
3/15/2031
33,451
Total
7,544,779
Financials
(12.4%)
Acrisure,
LLC/Acrisure
Finance,
Inc.
28,000
6.000%, 
8/1/2029
f
23,530
AerCap
Holdings
NV
50,000
5.875%, 
10/10/2079
b
48,624
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
70,000
3.150%, 
2/15/2024
69,201
63,000
6.500%, 
7/15/2025
63,073
108,000
3.000%, 
10/29/2028
92,608
Air
Lease
Corporation
40,000
2.300%, 
2/1/2025
37,890
11,000
3.375%, 
7/1/2025
10,450
53,000
4.650%, 
6/15/2026
b,k
46,674
52,000
3.125%, 
12/1/2030
42,342
Aircastle,
Ltd.
81,000
5.250%, 
6/15/2026
b,f,k
63,694
51,000
2.850%, 
1/26/2028
f
43,273
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
344
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Financials
(12.4%)
-
continued
Alliant
Holdings
Intermediate,
LLC/
Alliant
Holdings
Co-Issuer,
Inc.
$
70,000
6.750%, 
10/15/2027
f
$
65,101
Ally
Financial,
Inc.
62,000
5.750%, 
11/20/2025
60,224
96,000
4.700%, 
5/15/2026
b,k
65,879
42,000
8.000%, 
11/1/2031
42,405
25,000
6.700%, 
2/14/2033
21,702
American
Express
Company
59,000
3.950%, 
8/1/2025
57,075
50,000
3.550%, 
9/15/2026
b,k
39,699
89,000
2.550%, 
3/4/2027
80,244
American
Homes
4
Rent,
LP
50,000
2.375%, 
7/15/2031
38,121
American
International
Group,
Inc.
76,000
5.125%, 
3/27/2033
70,715
AmWINS
Group,
Inc.
87,000
4.875%, 
6/30/2029
f
76,232
Arbor
Realty
Trust,
Inc.,
Convertible
27,000
7.500%, 
8/1/2025
f
27,152
Ares
Capital
Corporation
21,000
4.250%, 
3/1/2025
20,195
90,000
2.150%, 
7/15/2026
78,962
Ares
Capital
Corporation,
Convertible
37,000
4.625%, 
3/1/2024
37,532
Assurant,
Inc.
67,000
6.100%, 
2/27/2026
66,662
Australia
&
New
Zealand
Banking
Group,
Ltd.
96,000
2.950%, 
7/22/2030
b,f
89,116
Aviation
Capital
Group,
LLC
41,000
4.875%, 
10/1/2025
f
39,394
Avolon
Holdings
Funding,
Ltd.
96,000
4.250%, 
4/15/2026
f
90,230
BAC
Capital
Trust
XIV
42,000
6.071%, 
(TSFR3M
+
0.662%),
10/18/2023
b,k
32,466
Banco
Santander
Mexico
SA
26,000
5.375%, 
4/17/2025
f
25,554
Banco
Santander
SA
29,000
4.750%, 
11/12/2026
b,k
21,514
Bank
of
America
Corporation
213,000
6.250%, 
9/5/2024
b,i,k
209,556
36,000
3.458%, 
3/15/2025
b
35,519
44,000
6.100%, 
3/17/2025
b,k
43,086
102,000
1.319%, 
6/19/2026
b
93,542
163,000
1.197%, 
10/24/2026
b
147,399
65,000
6.125%, 
4/27/2027
b,k
62,278
61,000
1.734%, 
7/22/2027
b
54,056
89,000
4.376%, 
4/27/2028
b
84,039
126,000
3.593%, 
7/21/2028
b
115,065
59,000
4.948%, 
7/22/2028
b
56,691
60,000
5.819%, 
9/15/2029
b
59,264
202,000
3.974%, 
2/7/2030
b
181,416
149,000
2.687%, 
4/22/2032
b
117,105
62,000
2.572%, 
10/20/2032
b
47,640
92,000
2.972%, 
2/4/2033
b
72,547
45,000
3.846%, 
3/8/2037
b
36,601
Bank
of
Montreal
35,000
5.920%, 
9/25/2025
34,923
68,000
5.203%, 
2/1/2028
66,374
46,000
3.088%, 
1/10/2037
b
34,278
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Financials
(12.4%)
-
continued
Bank
of
New
York
Mellon
Corporation
$
59,000
4.596%, 
7/26/2030
b
$
55,534
Bank
of
Nova
Scotia
64,000
5.250%, 
12/6/2024
63,411
86,000
4.900%, 
6/4/2025
b,k
78,657
41,000
1.050%, 
3/2/2026
36,593
Barclays
plc
41,000
4.375%, 
9/11/2024
40,173
49,000
2.852%, 
5/7/2026
b
46,224
50,000
5.501%, 
8/9/2028
b
48,044
64,000
4.972%, 
5/16/2029
b
59,788
54,000
6.224%, 
5/9/2034
b
51,154
35,000
7.119%, 
6/27/2034
b
33,710
Berkshire
Hathaway
Finance
Corporation
124,000
2.875%, 
3/15/2032
103,993
Blackstone
Mortgage
Trust,
Inc.,
Convertible
14,000
5.500%, 
3/15/2027
12,451
Blue
Owl
Capital
Corporation
41,000
4.250%, 
1/15/2026
38,357
Blue
Owl
Credit
Income
Corporation
68,000
4.700%, 
2/8/2027
61,878
Blue
Owl
Technology
Finance
Corporation
20,000
4.750%, 
12/15/2025
f
18,499
63,000
3.750%, 
6/17/2026
f
55,911
BNP
Paribas
SA
58,000
2.819%, 
11/19/2025
b,f
55,705
66,000
3.132%, 
1/20/2033
b,f
51,855
BPCE
SA
40,000
2.375%, 
1/14/2025
f
37,903
Bread
Financial
Holdings,
Inc.,
Convertible
11,000
4.250%, 
6/15/2028
f
11,859
Brixmor
Operating
Partnership,
LP
83,000
2.250%, 
4/1/2028
69,893
Brookfield
Property
REIT,
Inc./BPR
Cumulus,
LLC/BPR
Nimbus,
LLC/GGSI
Sellco,
LLC
28,000
4.500%, 
4/1/2027
f
23,334
Canadian
Imperial
Bank
of
Commerce
59,000
3.945%, 
8/4/2025
56,961
30,000
5.926%, 
10/2/2026
e
29,993
Capital
One
Financial
Corporation
24,000
3.950%, 
9/1/2026
b,k
18,014
69,000
3.273%, 
3/1/2030
b
57,718
Capital
One
NA
60,000
2.280%, 
1/28/2026
b
56,663
Castlelake
Aviation
Finance
DAC
43,000
5.000%, 
4/15/2027
f
39,274
Centene
Corporation
178,000
3.000%, 
10/15/2030
143,577
Charles
Schwab
Corporation
96,000
5.375%, 
6/1/2025
b,k
92,230
90,000
0.900%, 
3/11/2026
79,779
46,000
4.000%, 
6/1/2026
b,k
38,419
30,000
5.875%, 
8/24/2026
29,901
25,000
5.000%, 
6/1/2027
b,k
20,893
63,000
2.000%, 
3/20/2028
53,163
105,000
4.000%, 
12/1/2030
b,k
74,085
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
345
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Financials
(12.4%)
-
continued
$
41,000
6.136%, 
8/24/2034
b
$
39,883
Citigroup,
Inc.
48,000
9.699%, 
(TSFR3M
+
4.330%),
10/30/2023
b,k
47,908
34,000
5.000%, 
9/12/2024
b,k
32,153
105,000
3.352%, 
4/24/2025
b
103,127
100,000
5.500%, 
9/13/2025
98,793
33,000
4.000%, 
12/10/2025
b,k
28,867
90,000
3.875%, 
2/18/2026
b,k
76,801
45,000
4.150%, 
11/15/2026
b,k
36,017
148,000
1.122%, 
1/28/2027
b
131,885
83,000
1.462%, 
6/9/2027
b
73,366
98,000
3.070%, 
2/24/2028
b
88,896
26,000
7.375%, 
5/15/2028
b,i,k
25,228
52,000
7.625%, 
11/15/2028
b,k
50,731
168,000
4.075%, 
4/23/2029
b
154,617
41,000
6.174%, 
5/25/2034
b
39,181
Citizens
Financial
Group,
Inc.
48,000
4.000%, 
10/6/2026
b,k
35,575
CNA
Financial
Corporation
36,000
3.950%, 
5/15/2024
35,528
Coinbase
Global,
Inc.,
Convertible
105,000
0.500%, 
6/1/2026
78,813
Comerica,
Inc.
22,000
5.625%, 
7/1/2025
b,i,k
20,158
Commonwealth
Bank
of
Australia
51,000
2.688%, 
3/11/2031
f
38,803
Cooperatieve
Rabobank
UA
41,000
1.339%, 
6/24/2026
b,f
37,727
Corebridge
Financial,
Inc.
38,000
6.875%, 
12/15/2052
b
36,404
35,000
6.050%, 
9/15/2033
f
34,017
Corporate
Office
Properties,
LP
82,000
2.250%, 
3/15/2026
73,825
Corporate
Office
Properties,
LP,
Convertible
9,000
5.250%, 
9/15/2028
f
9,013
Credit
Acceptance
Corporation
184,000
5.125%, 
12/31/2024
f
179,211
Credit
Agricole
SA
44,000
8.125%, 
12/23/2025
b,f,k
43,681
42,000
3.250%, 
1/14/2030
f
35,053
Credit
Suisse
Group
AG
54,000
7.500%, 
12/11/2023
*,b,k,l
5,130
24,000
7.250%, 
9/12/2025
b,f,k,l
2,280
Dai-ichi
Life
Insurance
Company,
Ltd.
75,000
5.100%, 
10/28/2024
b,f,k
73,533
Deutsche
Bank
AG/New
York,
NY
143,000
2.129%, 
11/24/2026
b
129,322
90,000
2.311%, 
11/16/2027
b
78,371
68,000
3.742%, 
1/7/2033
b
48,796
Discover
Bank
84,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
b
76,863
Discover
Financial
Services
22,000
6.700%, 
11/29/2032
21,266
Drawbridge
Special
Opportunities
Fund,
LP
170,000
3.875%, 
2/15/2026
f
151,252
Elevance
Health,
Inc.
62,000
5.350%, 
10/15/2025
61,609
133,000
2.550%, 
3/15/2031
107,779
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Financials
(12.4%)
-
continued
Enact
Holdings,
Inc.
$
78,000
6.500%, 
8/15/2025
f
$
76,823
Encore
Capital
Group,
Inc.,
Convertible
32,000
4.000%, 
3/15/2029
f
30,654
Extra
Space
Storage,
LP
41,000
2.400%, 
10/15/2031
31,388
Fifth
Third
Bancorp
40,000
4.500%, 
9/30/2025
b,k
35,823
40,000
4.772%, 
7/28/2030
b
36,312
Fifth
Third
Bank
NA
111,000
3.850%, 
3/15/2026
102,671
First
Horizon
Bank
62,000
5.750%, 
5/1/2030
55,495
First-Citizens
Bank
&
Trust
Company
95,000
6.125%, 
3/9/2028
94,359
Fortress
Transportation
and
Infrastructure
Investors,
LLC
57,000
6.500%, 
10/1/2025
f
56,022
51,000
9.750%, 
8/1/2027
f
52,751
7,000
5.500%, 
5/1/2028
f
6,346
Freedom
Mortgage
Corporation
33,000
12.000%, 
10/1/2028
f
33,556
FS
KKR
Capital
Corporation
41,000
3.400%, 
1/15/2026
37,572
42,000
2.625%, 
1/15/2027
35,966
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership,
LP
155,000
3.750%, 
12/15/2027
f
120,008
Goldman
Sachs
Group,
Inc.
36,000
5.500%, 
8/10/2024
b,i,k
35,090
44,000
3.500%, 
4/1/2025
42,366
61,000
4.250%, 
10/21/2025
58,784
62,000
0.855%, 
2/12/2026
b
57,457
75,000
3.650%, 
8/10/2026
b,k
60,456
45,000
4.125%, 
11/10/2026
b,k
36,807
135,000
1.948%, 
10/21/2027
b
119,199
45,000
2.640%, 
2/24/2028
b
40,127
132,000
3.615%, 
3/15/2028
b
121,793
86,000
4.482%, 
8/23/2028
b
81,400
84,000
3.814%, 
4/23/2029
b
76,275
42,000
3.800%, 
3/15/2030
37,061
42,000
2.615%, 
4/22/2032
b
32,805
42,000
2.383%, 
7/21/2032
b
31,987
Hartford
Financial
Services
Group,
Inc.
42,000
2.800%, 
8/19/2029
36,027
64,000
7.751%, 
(TSFR3M
+
2.387%),
2/12/2047
b,f
54,407
HAT
Holdings
I,
LLC/HAT
Holdings
II,
LLC,
Convertible
3,000
Zero
Coupon, 
5/1/2025
f
2,895
27,000
3.750%, 
8/15/2028
f
26,241
HSBC
Holdings
plc
49,000
3.803%, 
3/11/2025
b
48,396
24,000
6.375%, 
3/30/2025
b,k
23,055
49,000
2.633%, 
11/7/2025
b
46,952
37,000
1.645%, 
4/18/2026
b
34,389
49,000
1.589%, 
5/24/2027
b
43,206
106,000
2.251%, 
11/22/2027
b
93,569
118,000
4.583%, 
6/19/2029
b
109,095
81,000
4.600%, 
12/17/2030
b,k
61,211
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
346
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Financials
(12.4%)
-
continued
$
50,000
2.804%, 
5/24/2032
b
$
38,727
HUB
International,
Ltd.
146,000
5.625%, 
12/1/2029
f
127,131
Huntington
Bancshares,
Inc.
66,000
4.450%, 
10/15/2027
b,k
53,386
Icahn
Enterprises,
LP/Icahn
Enterprises
Finance
Corporation
83,000
6.375%, 
12/15/2025
78,955
92,000
5.250%, 
5/15/2027
80,866
ING
Groep
NV
84,000
1.726%, 
4/1/2027
b
75,154
Intercontinental
Exchange,
Inc.
67,000
4.350%, 
6/15/2029
63,025
Invitation
Homes
Operating
Partnership,
LP
72,000
2.000%, 
8/15/2031
53,283
J.P.
Morgan
Chase
&
Company
44,000
8.934%, 
(TSFR3M
+
3.562%),
11/1/2023
b,i,k
44,149
109,000
5.000%, 
8/1/2024
b,k
105,356
66,000
4.600%, 
2/1/2025
b,k
61,742
117,000
1.561%, 
12/10/2025
b
110,575
44,000
2.083%, 
4/22/2026
b
41,299
50,000
3.650%, 
6/1/2026
b,k
43,642
129,000
1.045%, 
11/19/2026
b
115,933
84,000
1.578%, 
4/22/2027
b
74,964
105,000
2.947%, 
2/24/2028
b
95,251
126,000
4.005%, 
4/23/2029
b
116,118
41,000
2.069%, 
6/1/2029
b
34,547
168,000
4.493%, 
3/24/2031
b
153,824
45,000
2.963%, 
1/25/2033
b
35,826
39,000
4.912%, 
7/25/2033
b
35,882
42,000
5.717%, 
9/14/2033
b
40,374
30,000
5.350%, 
6/1/2034
b
28,448
Jefferies
Finance,
LLC/JFIN
Co-
Issuer
Corporation
39,000
5.000%, 
8/15/2028
f
32,838
KeyBank
NA/Cleveland,
OH
63,000
3.900%, 
4/13/2029
51,068
82,000
5.000%, 
1/26/2033
69,025
Kilroy
Realty,
LP
55,000
4.250%, 
8/15/2029
47,119
Lincoln
National
Corporation
40,000
7.996%, 
(LIBOR
3M
+
2.358%),
11/17/2023
b
27,828
Lloyds
Banking
Group
plc
124,000
1.627%, 
5/11/2027
b
109,979
LPL
Holdings,
Inc.
90,000
4.000%, 
3/15/2029
f
78,468
M&T
Bank
Corporation
106,000
3.500%, 
9/1/2026
b,k
74,543
Macquarie
Group,
Ltd.
83,000
1.629%, 
9/23/2027
b,f
72,509
Manufacturers
&
Traders
Trust
Company
87,000
4.700%, 
1/27/2028
80,349
Marsh
&
McLennan
Companies,
Inc.
45,000
2.375%, 
12/15/2031
35,383
MetLife,
Inc.
54,000
3.850%, 
9/15/2025
b,k
49,955
39,000
5.875%, 
3/15/2028
b,k
36,631
50,000
6.400%, 
12/15/2036
48,856
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Financials
(12.4%)
-
continued
Metropolitan
Life
Global
Funding
I
$
68,000
2.950%, 
4/9/2030
f
$
57,624
Mid-America
Apartments,
LP
84,000
4.200%, 
6/15/2028
78,919
Mitsubishi
UFJ
Financial
Group,
Inc.
49,000
1.412%, 
7/17/2025
45,204
81,000
1.538%, 
7/20/2027
b
71,744
Mizuho
Financial
Group,
Inc.
111,000
1.554%, 
7/9/2027
b
98,148
84,000
2.564%, 
9/13/2031
63,573
39,000
5.748%, 
7/6/2034
b
37,228
Molina
Healthcare,
Inc.
100,000
4.375%, 
6/15/2028
f
89,605
Morgan
Stanley
41,000
5.816%, 
(SOFRRATE
+
0.466%),
11/10/2023
b
41,000
36,000
2.720%, 
7/22/2025
b
34,937
82,000
1.164%, 
10/21/2025
b
77,405
29,000
5.000%, 
11/24/2025
28,424
115,000
2.630%, 
2/18/2026
b
109,460
61,000
0.985%, 
12/10/2026
b
54,421
84,000
1.593%, 
5/4/2027
b
74,767
82,000
1.512%, 
7/20/2027
b
72,454
30,000
5.123%, 
2/1/2029
b
28,890
201,000
3.622%, 
4/1/2031
b
173,156
45,000
2.943%, 
1/21/2033
b
35,438
40,000
4.889%, 
7/20/2033
b
36,345
43,000
5.250%, 
4/21/2034
b
39,925
85,000
2.484%, 
9/16/2036
b
61,743
MPT
Operating
Partnership,
LP/
MPT
Finance
Corporation
16,000
5.250%, 
8/1/2026
13,627
75,000
4.625%, 
8/1/2029
53,120
Nasdaq,
Inc.
31,000
5.350%, 
6/28/2028
30,434
Nationstar
Mortgage
Holdings,
Inc.
104,000
6.000%, 
1/15/2027
f
98,272
NatWest
Group
plc
58,000
4.269%, 
3/22/2025
b
57,379
42,000
4.892%, 
5/18/2029
b
39,282
63,000
3.754%, 
11/1/2029
b
59,985
Necessity
Retail
REIT,
Inc./
American
Finance
Operating
Partner,
LP
113,000
4.500%, 
9/30/2028
f
85,833
New
York
Life
Global
Funding
44,000
4.550%, 
1/28/2033
f
40,337
NFP
Corporation
54,000
6.875%, 
8/15/2028
f
46,261
Nippon
Life
Insurance
Company
123,000
5.100%, 
10/16/2044
b,f
120,694
NNN
REIT,
Inc.
42,000
2.500%, 
4/15/2030
33,942
Nomura
Holdings,
Inc.
62,000
2.172%, 
7/14/2028
51,442
Northern
Trust
Corporation
63,000
4.000%, 
5/10/2027
59,594
Office
Properties
Income
Trust
41,000
2.650%, 
6/15/2026
27,891
Omega
Healthcare
Investors,
Inc.
43,000
4.750%, 
1/15/2028
39,794
42,000
3.375%, 
2/1/2031
32,835
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
347
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Financials
(12.4%)
-
continued
OneMain
Finance
Corporation
$
120,000
6.875%, 
3/15/2025
$
119,049
224,000
3.875%, 
9/15/2028
179,792
Park
Intermediate
Holdings,
LLC
153,000
4.875%, 
5/15/2029
f
129,430
Pebblebrook
Hotel
Trust,
Convertible
113,000
1.750%, 
12/15/2026
93,722
Pine
Street
Trust
I
42,000
4.572%, 
2/15/2029
f
37,793
PNC
Bank
NA
42,000
2.700%, 
10/22/2029
34,169
PNC
Financial
Services
Group,
Inc.
82,000
5.671%, 
10/28/2025
b
81,367
50,000
3.400%, 
9/15/2026
b,k
36,989
50,000
6.200%, 
9/15/2027
b,k
45,950
31,000
5.582%, 
6/12/2029
b
30,074
51,000
6.250%, 
3/15/2030
b,k
43,718
PRA
Group,
Inc.
80,000
7.375%, 
9/1/2025
f
77,900
66,000
8.375%, 
2/1/2028
f
60,060
Principal
Life
Global
Funding
II
62,000
1.250%, 
8/16/2026
f
54,262
Prologis,
LP
27,000
3.375%, 
12/15/2027
24,825
Provident
Financing
Trust
I
22,000
7.405%, 
3/15/2038
21,698
Prudential
Financial,
Inc.
45,000
5.125%, 
3/1/2052
b
38,751
38,000
6.750%, 
3/1/2053
b
36,742
129,000
5.200%, 
3/15/2044
b,i
126,211
22,000
3.700%, 
10/1/2050
b
17,892
Public
Storage
Operating
Company
31,000
5.100%, 
8/1/2033
29,633
QBE
Insurance
Group,
Ltd.
19,000
5.875%, 
5/12/2025
b,f,k
18,060
Radian
Group,
Inc.
97,000
4.875%, 
3/15/2027
90,634
Realty
Income
Corporation
41,000
4.875%, 
6/1/2026
40,235
63,000
3.950%, 
8/15/2027
59,069
72,000
5.625%, 
10/13/2032
69,606
Redwood
Trust,
Inc.,
Convertible
5,000
7.750%, 
6/15/2027
4,472
Regions
Financial
Corporation
45,000
2.250%, 
5/18/2025
41,978
44,000
5.750%, 
6/15/2025
b,i,k
41,747
Reinsurance
Group
of
America,
Inc.
35,000
6.000%, 
9/15/2033
33,770
RLJ
Lodging
Trust,
LP
49,000
3.750%, 
7/1/2026
f
44,315
102,000
4.000%, 
9/15/2029
f
83,532
Rocket
Mortgage,
LLC/Rocket
Mortgage
Co-Issuer,
Inc.
95,000
3.625%, 
3/1/2029
f
78,540
Royal
Bank
of
Canada
82,000
0.750%, 
10/7/2024
77,792
38,000
5.000%, 
2/1/2033
35,407
Santander
Holdings
USA,
Inc.
84,000
3.450%, 
6/2/2025
79,892
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Financials
(12.4%)
-
continued
$
47,000
2.490%, 
1/6/2028
b
$
40,809
45,000
6.499%, 
3/9/2029
b
43,887
Santander
UK
Group
Holdings
plc
81,000
1.673%, 
6/14/2027
b
70,851
Service
Properties
Trust
47,000
4.650%, 
3/15/2024
46,359
31,000
4.350%, 
10/1/2024
29,738
87,000
7.500%, 
9/15/2025
85,472
80,000
5.500%, 
12/15/2027
68,371
Simon
Property
Group,
LP
82,000
2.650%, 
7/15/2030
67,457
SLM
Corporation
50,000
4.200%, 
10/29/2025
46,785
Societe
Generale
SA
48,000
2.625%, 
10/16/2024
f
46,134
49,000
1.488%, 
12/14/2026
b,f
43,746
Spirit
Realty,
LP
68,000
3.200%, 
1/15/2027
61,603
Standard
Chartered
plc
49,000
0.991%, 
1/12/2025
b,f
48,189
25,000
6.000%, 
7/26/2025
b,f,i,k
23,742
66,000
2.608%, 
1/12/2028
b,f
58,426
Starwood
Property
Trust,
Inc.,
Convertible
44,000
6.750%, 
7/15/2027
45,078
State
Street
Corporation
31,000
5.272%, 
8/3/2026
30,709
42,000
4.421%, 
5/13/2033
b
37,679
Sumitomo
Life
Insurance
Company
85,000
3.375%, 
4/15/2081
b,f
70,642
Sumitomo
Mitsui
Financial
Group,
Inc.
48,000
2.448%, 
9/27/2024
46,357
66,000
2.174%, 
1/14/2027
58,702
63,000
2.142%, 
9/23/2030
48,641
59,000
5.766%, 
1/13/2033
57,662
Sumitomo
Mitsui
Trust
Bank,
Ltd.
41,000
1.050%, 
9/12/2025
f
37,347
Summit
Hotel
Properties,
Inc.,
Convertible
38,000
1.500%, 
2/15/2026
31,920
Synchrony
Financial
42,000
4.250%, 
8/15/2024
41,017
24,000
7.250%, 
2/2/2033
21,183
Synovus
Bank
43,000
5.625%, 
2/15/2028
38,961
Toronto-Dominion
Bank
35,000
8.125%, 
10/31/2082
b
34,820
46,000
5.156%, 
1/10/2028
44,896
53,000
5.523%, 
7/17/2028
52,313
42,000
4.456%, 
6/8/2032
37,664
Truist
Bank
42,000
2.250%, 
3/11/2030
32,149
Truist
Financial
Corporation
74,000
6.047%, 
6/8/2027
b
73,195
42,000
1.887%, 
6/7/2029
b
34,490
90,000
5.100%, 
3/1/2030
b,k
76,947
U.S.
Bancorp
62,000
5.727%, 
10/21/2026
b
61,484
59,000
4.548%, 
7/22/2028
b
55,419
15,000
5.836%, 
6/12/2034
b
14,147
UBS
Group
AG
39,000
2.593%, 
9/11/2025
b,f
37,537
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
348
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Financials
(12.4%)
-
continued
$
75,000
2.193%, 
6/5/2026
b,f
$
69,754
83,000
3.869%, 
1/12/2029
b,f
75,180
UDR,
Inc.
94,000
3.000%, 
8/15/2031
76,339
United
Wholesale
Mortgage,
LLC
31,000
5.500%, 
11/15/2025
f
29,487
78,000
5.500%, 
4/15/2029
f
65,910
UnitedHealth
Group,
Inc.
143,000
5.250%, 
2/15/2028
143,243
85,000
4.200%, 
5/15/2032
77,581
USB
Realty
Corporation
44,000
6.717%, 
(TSFR3M
+
1.409%),
1/15/2027
b,f,k
32,006
USI,
Inc./NY
40,000
6.875%, 
5/1/2025
f
39,692
Ventas
Realty,
LP
34,000
3.750%, 
5/1/2024
33,527
Ventas
Realty,
LP,
Convertible
62,000
3.750%, 
6/1/2026
f
60,419
Wells
Fargo
&
Company
80,000
2.406%, 
10/30/2025
b
76,664
65,000
3.900%, 
3/15/2026
b,k
56,768
106,000
2.188%, 
4/30/2026
b
99,527
50,000
6.070%, 
(TSFR3M
+
0.762%),
1/15/2027
b
47,393
46,000
3.526%, 
3/24/2028
b
42,245
99,000
3.584%, 
5/22/2028
b
90,634
59,000
4.808%, 
7/25/2028
b
56,302
49,000
7.625%, 
9/15/2028
b,k
49,400
230,000
4.478%, 
4/4/2031
b
208,667
30,000
5.389%, 
4/24/2034
b
28,047
Welltower
OP,
LLC
41,000
2.050%, 
1/15/2029
33,889
63,000
2.800%, 
6/1/2031
50,415
Welltower
OP,
LLC,
Convertible
92,000
2.750%, 
5/15/2028
f
93,889
Westpac
Banking
Corporation
63,000
4.110%, 
7/24/2034
b
54,407
Willis
North
America,
Inc.
84,000
4.500%, 
9/15/2028
78,773
XHR,
LP
49,000
6.375%, 
8/15/2025
f,i
48,108
56,000
4.875%, 
6/1/2029
f
47,600
Total
20,454,376
Foreign
Government
(<0.1%)
NBN
Company,
Ltd.
74,000
2.625%, 
5/5/2031
f
59,641
Total
59,641
Mortgage-Backed
Securities
(9.9%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
915,179
2.500%, 
5/1/2051
730,360
669,066
3.500%, 
5/1/2052
576,154
412,964
4.000%, 
5/1/2052
370,628
1,414,335
3.500%, 
6/1/2052
1,218,817
297,037
5.000%, 
7/1/2053
281,176
250,000
5.500%, 
9/1/2053
242,563
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Mortgage-Backed
Securities
(9.9%)
-
continued
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
$
472,710
2.500%, 
7/1/2030
$
430,879
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
272,817
3.500%, 
5/1/2040
242,364
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
1,222,484
3.000%, 
1/1/2052
1,017,716
120,150
2.000%, 
2/1/2051
92,025
86,355
2.000%, 
2/1/2051
66,039
499,891
2.500%, 
2/1/2051
399,769
1,055,130
2.000%, 
3/1/2051
806,402
1,216,960
3.000%, 
3/1/2052
1,009,236
762,983
2.000%, 
4/1/2051
583,043
744,589
3.000%, 
4/1/2051
618,173
779,785
3.000%, 
5/1/2050
652,456
129,183
2.000%, 
5/1/2051
98,522
405,921
3.000%, 
5/1/2051
341,257
734,021
2.500%, 
7/1/2051
585,946
215,909
3.500%, 
8/1/2050
188,993
498,663
3.500%, 
9/1/2052
431,163
424,539
4.500%, 
9/1/2053
390,248
369,731
4.000%, 
10/1/2052
330,247
128,861
2.000%, 
11/1/2051
98,395
591,761
2.000%, 
12/1/2050
453,255
1,265,061
4.500%, 
12/1/2052
1,166,674
1,900,000
4.000%, 
10/1/2048
e
1,691,445
500,000
5.000%, 
10/1/2048
e
471,719
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
429,133
2.500%, 
3/1/2062
329,341
369,853
3.500%, 
7/1/2061
314,564
175,842
4.000%, 
12/1/2061
156,606
Total
16,386,175
Technology
(3.2%)
Advanced
Micro
Devices,
Inc.
42,000
3.924%, 
6/1/2032
37,748
Akamai
Technologies,
Inc.,
Convertible
40,000
0.125%, 
5/1/2025
47,176
56,000
0.375%, 
9/1/2027
58,324
41,000
1.125%, 
2/15/2029
f
41,348
Analog
Devices,
Inc.
20,000
2.100%, 
10/1/2031
15,793
Apple,
Inc.
125,000
2.200%, 
9/11/2029
107,242
90,000
1.650%, 
2/8/2031
71,295
AthenaHealth
Group,
Inc.
145,000
6.500%, 
2/15/2030
f,i
121,294
Block,
Inc.,
Convertible
16,000
0.125%, 
3/1/2025
14,848
64,000
0.250%, 
11/1/2027
48,040
Broadcom
Corporation/Broadcom
Cayman
Finance,
Ltd.
63,000
3.875%, 
1/15/2027
59,195
Broadcom,
Inc.
46,000
4.000%, 
4/15/2029
f
41,510
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
349
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Technology
(3.2%)
-
continued
Cloud
Software
Group,
Inc.
$
107,000
6.500%, 
3/31/2029
f
$
94,623
38,000
9.000%, 
9/30/2029
f
33,022
CommScope
Technologies,
LLC
48,000
6.000%, 
6/15/2025
f
45,694
CommScope,
Inc.
80,000
7.125%, 
7/1/2028
f
47,865
CSG
Systems
International,
Inc.,
Convertible
21,000
3.875%, 
9/15/2028
f
20,435
Dell
International,
LLC/EMC
Corporation
69,000
5.250%, 
2/1/2028
67,947
32,000
5.300%, 
10/1/2029
31,065
Euronet
Worldwide,
Inc.,
Convertible
28,000
0.750%, 
3/15/2049
25,725
Fiserv,
Inc.
68,000
2.750%, 
7/1/2024
66,363
99,000
4.200%, 
10/1/2028
92,830
22,000
5.600%, 
3/2/2033
21,322
Gartner,
Inc.
190,000
3.625%, 
6/15/2029
f
162,540
60,000
3.750%, 
10/1/2030
f
50,352
Global
Payments,
Inc.
17,000
2.650%, 
2/15/2025
16,197
65,000
4.950%, 
8/15/2027
62,469
42,000
3.200%, 
8/15/2029
35,718
II-VI,
Inc.
43,000
5.000%, 
12/15/2029
f,i
37,283
Intel
Corporation
88,000
5.125%, 
2/10/2030
86,353
InterDigital,
Inc.,
Convertible
80,000
3.500%, 
6/1/2027
94,152
Iron
Mountain,
Inc.
38,000
4.875%, 
9/15/2027
f
35,049
120,000
5.000%, 
7/15/2028
f
109,146
119,000
4.875%, 
9/15/2029
f
104,297
170,000
4.500%, 
2/15/2031
f
139,819
Jabil,
Inc.
43,000
5.450%, 
2/1/2029
41,815
Lumentum
Holdings,
Inc.,
Convertible
59,000
0.250%, 
3/15/2024
58,410
99,000
0.500%, 
6/15/2028
i
71,904
Marvell
Technology,
Inc.
42,000
2.950%, 
4/15/2031
33,979
Mastercard,
Inc.
46,000
2.000%, 
11/18/2031
36,084
Microchip
Technology,
Inc.,
Convertible
216,000
0.125%, 
11/15/2024
i
226,800
Moody's
Corporation
43,000
4.250%, 
8/8/2032
39,019
NCR
Corporation
145,000
5.125%, 
4/15/2029
f
127,754
144,000
6.125%, 
9/1/2029
f
147,676
NVIDIA
Corporation
21,000
2.850%, 
4/1/2030
18,321
NXP
BV/NXP
Funding,
LLC
44,000
4.875%, 
3/1/2024
43,780
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Technology
(3.2%)
-
continued
NXP
BV/NXP
Funding,
LLC/NXP
USA,
Inc.
$
21,000
2.700%, 
5/1/2025
$
19,944
42,000
4.300%, 
6/18/2029
38,476
ON
Semiconductor
Corporation,
Convertible
87,000
Zero
Coupon, 
5/1/2027
156,600
2,000
0.500%, 
3/1/2029
f
2,196
Open
Text
Corporation
81,000
3.875%, 
12/1/2029
f
66,583
175,000
4.125%, 
2/15/2030
f
146,405
Oracle
Corporation
43,000
6.150%, 
11/9/2029
43,652
142,000
2.950%, 
4/1/2030
119,491
63,000
6.250%, 
11/9/2032
63,778
PayPal
Holdings,
Inc.
42,000
2.850%, 
10/1/2029
36,409
59,000
2.300%, 
6/1/2030
48,217
Progress
Software
Corporation,
Convertible
28,000
1.000%, 
4/15/2026
28,812
PTC,
Inc.
65,000
3.625%, 
2/15/2025
f
62,467
85,000
4.000%, 
2/15/2028
f
76,181
Rackspace
Technology
Global,
Inc.
125,000
5.375%, 
12/1/2028
f
41,918
RingCentral,
Inc.
86,000
8.500%, 
8/15/2030
f
83,076
S&P
Global,
Inc.
46,000
2.900%, 
3/1/2032
37,859
Salesforce.com,
Inc.
116,000
1.950%, 
7/15/2031
91,866
Seagate
HDD
Cayman
54,000
8.500%, 
7/15/2031
f
55,392
146,655
9.625%, 
12/1/2032
f
158,027
Semtech
Corporation,
Convertible
31,000
1.625%, 
11/1/2027
f
28,969
Sensata
Technologies,
Inc.
113,000
3.750%, 
2/15/2031
f
91,454
Shift4
Payments,
LLC/Shift4
Payments
Finance
Sub,
Inc.
40,000
4.625%, 
11/1/2026
f
37,714
SS&C
Technologies,
Inc.
317,000
5.500%, 
9/30/2027
f
299,134
Verint
Systems,
Inc.,
Convertible
44,000
0.250%, 
4/15/2026
37,565
Viavi
Solutions,
Inc.
106,000
3.750%, 
10/1/2029
f
86,167
Viavi
Solutions,
Inc.,
Convertible
33,000
1.625%, 
3/15/2026
f
31,498
Vishay
Intertechnology,
Inc.,
Convertible
143,000
2.250%, 
9/15/2030
f
140,068
VMware,
Inc.
82,000
1.400%, 
8/15/2026
72,333
61,000
2.200%, 
8/15/2031
46,033
Xilinx,
Inc.
24,000
2.375%, 
6/1/2030
19,870
Ziff
Davis,
Inc.,
Convertible
74,000
1.750%, 
11/1/2026
68,043
Total
5,325,818
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
350
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Transportation
(1.3%)
Air
Transport
Services
Group,
Inc.,
Convertible
$
46,000
3.875%, 
8/15/2029
f
$
45,149
Allegiant
Travel
Company
89,000
7.250%, 
8/15/2027
f
83,771
American
Airlines
Group,
Inc.
33,000
3.750%, 
3/1/2025
f
31,262
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
283,250
5.500%, 
4/20/2026
f
276,640
Avis
Budget
Car
Rental,
LLC/Avis
Budget
Finance,
Inc.
52,000
5.375%, 
3/1/2029
f
46,216
Canadian
Pacific
Railway
Company
89,000
1.750%, 
12/2/2026
79,404
CSX
Corporation
42,000
4.250%, 
3/15/2029
39,781
Delta
Air
Lines,
Inc.
91,000
4.375%, 
4/19/2028
83,641
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.
71,306
4.500%, 
10/20/2025
f
69,259
ERAC
USA
Finance,
LLC
59,000
3.850%, 
11/15/2024
f
57,622
Hawaiian
Brand
Intellectual
Property,
Ltd.
125,000
5.750%, 
1/20/2026
f
112,482
Hertz
Corporation
92,000
4.625%, 
12/1/2026
f
81,535
110,000
5.000%, 
12/1/2029
f
86,121
JetBlue
Airways
Corporation,
Convertible
60,000
0.500%, 
4/1/2026
46,386
Mileage
Plus
Holdings,
LLC
94,500
6.500%, 
6/20/2027
f
93,631
Norfolk
Southern
Corporation
65,000
4.450%, 
3/1/2033
59,356
Penske
Truck
Leasing
Company,
LP/PTL
Finance
Corporation
41,000
1.200%, 
11/15/2025
f
36,881
31,000
5.750%, 
5/24/2026
f
30,544
42,000
1.700%, 
6/15/2026
f
37,234
Rand
Parent,
LLC
100,000
8.500%, 
2/15/2030
f
92,510
Ryder
System,
Inc.
51,000
2.850%, 
3/1/2027
46,407
Southwest
Airlines
Company
42,000
5.125%, 
6/15/2027
40,952
50,000
2.625%, 
2/10/2030
41,194
Southwest
Airlines
Company,
Convertible
105,000
1.250%, 
5/1/2025
104,212
Union
Pacific
Corporation
42,000
2.150%, 
2/5/2027
37,913
United
Airlines,
Inc.
112,000
4.375%, 
4/15/2026
f
103,577
96,000
4.625%, 
4/15/2029
f
82,515
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.
27,000
7.875%, 
5/1/2027
f,i
23,254
127,000
6.375%, 
2/1/2030
f
98,089
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Transportation
(1.3%)
-
continued
XPO
Escrow
Sub,
LLC
$
118,000
7.500%, 
11/15/2027
f
$
119,303
Total
2,186,841
U.S.
Government
&
Agencies
(4.1%)
U.S.
Treasury
Bonds
500,000
4.000%, 
11/15/2052
443,164
2,225,000
3.375%, 
8/15/2042
1,802,771
U.S.
Treasury
Notes
300,000
4.125%, 
7/31/2028
293,531
500,000
4.125%, 
11/15/2032
482,227
4,100,000
3.375%, 
5/15/2033
3,718,188
Total
6,739,881
Utilities
(2.5%)
AEP
Texas,
Inc.
43,000
4.700%, 
5/15/2032
39,348
AES
Corporation
81,000
3.950%, 
7/15/2030
f
69,816
Algonquin
Power
&
Utilities
Corporation
30,000
4.750%, 
1/18/2082
b
24,450
Alliant
Energy
Corporation,
Convertible
41,000
3.875%, 
3/15/2026
f
39,606
Ameren
Corporation
52,000
1.750%, 
3/15/2028
44,073
American
Electric
Power
Company,
Inc.
67,000
2.031%, 
3/15/2024
65,748
42,000
2.300%, 
3/1/2030
33,748
22,000
5.625%, 
3/1/2033
21,288
American
Water
Capital
Corporation,
Convertible
54,000
3.625%, 
6/15/2026
f
52,045
Arizona
Public
Service
Company
37,000
5.550%, 
8/1/2033
35,867
Calpine
Corporation
101,000
4.500%, 
2/15/2028
f
91,024
CenterPoint
Energy,
Inc.
34,000
2.500%, 
9/1/2024
32,918
62,000
1.450%, 
6/1/2026
55,531
63,000
2.650%, 
6/1/2031
50,318
CenterPoint
Energy,
Inc.,
Convertible
22,000
4.250%, 
8/15/2026
f
21,461
CMS
Energy
Corporation,
Convertible
54,000
3.375%, 
5/1/2028
f,i
50,625
Constellation
Energy
Generation,
LLC
43,000
5.800%, 
3/1/2033
41,926
Dominion
Energy,
Inc.
34,000
3.071%, 
8/15/2024
33,099
70,000
4.350%, 
1/15/2027
b,k
60,439
52,000
3.375%, 
4/1/2030
44,732
DTE
Energy
Company
64,000
4.220%, 
11/1/2024
62,807
39,000
4.875%, 
6/1/2028
37,691
Duke
Energy
Corporation
50,000
3.250%, 
1/15/2082
b
36,837
24,000
4.875%, 
9/16/2024
b,k
23,359
107,000
2.450%, 
6/1/2030
86,882
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
351
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Utilities
(2.5%)
-
continued
$
43,000
4.500%, 
8/15/2032
$
38,681
35,000
5.750%, 
9/15/2033
34,385
Duke
Energy
Corporation,
Convertible
128,000
4.125%, 
4/15/2026
f
124,224
Edison
International
58,000
4.950%, 
4/15/2025
56,841
145,000
5.000%, 
12/15/2026
b,k
123,928
Enel
Finance
International
NV
81,000
1.375%, 
7/12/2026
f
71,531
Entergy
Corporation
41,000
0.900%, 
9/15/2025
37,225
42,000
1.900%, 
6/15/2028
35,471
Evergy,
Inc.
35,000
2.450%, 
9/15/2024
33,811
Eversource
Energy
73,000
4.600%, 
7/1/2027
70,211
43,000
5.125%, 
5/15/2033
39,995
Exelon
Corporation
42,000
4.050%, 
4/15/2030
37,800
Fells
Point
Funding
Trust
100,000
3.046%, 
1/31/2027
f
90,678
FirstEnergy
Corporation,
Convertible
78,000
4.000%, 
5/1/2026
f
75,075
Florida
Power
&
Light
Company
42,000
4.400%, 
5/15/2028
40,498
Georgia
Power
Company
27,000
4.950%, 
5/17/2033
25,308
ITC
Holdings
Corporation
42,000
4.950%, 
9/22/2027
f
40,921
Jersey
Central
Power
&
Light
Company
86,000
2.750%, 
3/1/2032
f
67,350
National
Rural
Utilities
Cooperative
Finance
Corporation
66,000
3.450%, 
6/15/2025
63,504
37,000
5.050%, 
9/15/2028
36,349
NextEra
Energy
Capital
Holdings,
Inc.
65,000
3.800%, 
3/15/2082
b
55,023
42,000
6.051%, 
3/1/2025
42,064
55,000
5.749%, 
9/1/2025
54,846
42,000
2.250%, 
6/1/2030
33,624
NextEra
Energy
Operating
Partners,
LP
195,000
3.875%, 
10/15/2026
f
176,556
NextEra
Energy
Partners,
LP,
Convertible
88,000
Zero
Coupon, 
11/15/2025
f
73,480
NiSource,
Inc.
42,000
2.950%, 
9/1/2029
36,199
NRG
Energy,
Inc.
53,000
2.000%, 
12/2/2025
f
47,962
39,000
10.250%, 
3/15/2028
b,f,k
38,197
38,000
3.375%, 
2/15/2029
f
30,757
60,000
5.250%, 
6/15/2029
f
52,965
NRG
Energy,
Inc.,
Convertible
92,000
2.750%, 
6/1/2048
97,336
PG&E
Corporation
130,000
5.000%, 
7/1/2028
i
117,751
PPL
Capital
Funding,
Inc.,
Convertible
66,000
2.875%, 
3/15/2028
f
60,060
Principal
Amount
Long-Term
Fixed
Income
(78.2%)
Value
Utilities
(2.5%)
-
continued
Public
Service
Enterprise
Group,
Inc.
$
42,000
1.600%, 
8/15/2030
$
32,222
Sempra
65,000
4.125%, 
4/1/2052
b
52,577
44,000
4.875%, 
10/15/2025
b,k
41,689
63,000
3.400%, 
2/1/2028
57,341
Southern
California
Edison
Company
21,000
5.950%, 
11/1/2032
20,944
Southern
Company
42,000
4.475%, 
8/1/2024
41,391
40,000
5.700%, 
10/15/2032
39,289
41,000
4.000%, 
1/15/2051
b
37,924
92,000
3.750%, 
9/15/2051
b
80,242
Southern
Company,
Convertible
127,000
3.875%, 
12/15/2025
f
123,444
TerraForm
Power
Operating,
LLC
161,000
5.000%, 
1/31/2028
f
146,108
Vistra
Operations
Company,
LLC
86,000
5.125%, 
5/13/2025
f
83,800
162,000
5.000%, 
7/31/2027
f
148,941
Xcel
Energy,
Inc.
51,000
4.000%, 
6/15/2028
47,712
65,000
4.600%, 
6/1/2032
58,984
Total
4,228,852
Total
Long-Term
Fixed
Income
(cost
$142,100,644)
129,468,217
Shares
Registered
Investment
Companies
(
10
.2
%
)
Value
U.S.
Affiliated  (9.0%)
2,003,820
Thrivent
Core
Emerging
Markets
Debt
Fund
14,848,309
Total
14,848,309
U.S.
Unaffiliated  (1.2%)
24,084
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
59,006
9,075
AllianceBernstein
Global
High
Income
Fund,
Inc.
88,027
11,614
Allspring
Income
Opportunities
Fund
70,845
3,171
BlackRock
Core
Bond
Trust
31,520
8,534
BlackRock
Corporate
High
Yield
Fund,
Inc.
73,648
8,215
BlackRock
Credit
Allocation
Income
Trust
79,521
2,120
BlackRock
Debt
Strategies
Fund,
Inc.
21,772
8,249
BlackRock
Enhanced
Global
Dividend
Trust
77,788
2,150
BlackRock
Enhanced
International
Dividend
Trust
10,728
300
BlackRock
Floating
Rate
Income
Strategies
Fund,
Inc.
3,786
1,499
BlackRock
Income
Trust,
Inc.
17,059
4,516
BlackRock
Multi-Sector
Income
Trust
65,347
6,567
Blackstone
Strategic
Credit
2027
Term
Fund
72,171
8,014
Eaton
Vance
Limited
Duration
Income
Fund
72,447
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
352
Shares
Registered
Investment
Companies
(10.2%)
Value
U.S.
Unaffiliated  (1.2%)-
continued
702
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
$
5,174
7,187
First
Trust
High
Income
Long/Short
Fund
77,045
2,034
Invesco
Dynamic
Credit
Opportunities
Fund
c,m
21,406
1,600
iShares
Preferred
and
Income
Securities
ETF
48,240
17,325
Nuveen
Credit
Strategies
Income
Fund
87,665
2,750
Nuveen
Preferred
Income
Opportunities
Fund
17,407
2,200
Nuveen
Quality
Preferred
Income
Fund
II
13,574
7,350
PGIM
Global
High
Yield
Fund,
Inc.
79,233
7,821
PGIM
High
Yield
Bond
Fund,
Inc.
92,131
1,902
Pimco
Dynamic
Income
Fund
32,867
3,036
SPDR
Bloomberg
High
Yield
Bond
ETF
i
274,454
912
Tri-Continental
Corporation
24,250
3,900
Vanguard
Short-Term
Corporate
Bond
ETF
293,085
2,300
Virtus
Convertible
&
Income
Fund
7,153
4,605
Virtus
Dividend,
Interest
&
Premium
Strategy
Fund
52,175
720
Virtus
Equity
&
Convertible
Income
Fund
i
14,321
11,564
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
56,663
17,803
Western
Asset
High
Income
Opportunity
Fund,
Inc.
64,803
Total
2,005,311
Total
Registered
Investment
Companies
(cost
$20,961,448)
16,853,620
Shares
Collateral
Held
for
Securities
Loaned
(
2
.1
%
)
Value
3,470,293
Thrivent
Cash
Management
Trust
3,470,293
Total
Collateral
Held
for
Securities
Loaned
(cost
$3,470,293)
3,470,293
Shares
Preferred
Stock
(
1
.2
%
)
Value
Communications
Services
(0.1%)
6,050
AT&T,
Inc.,
4.750%
k
116,039
453
Paramount
Global,
Convertible,
5.750%
8,041
3,500
Telephone
and
Data
Systems,
Inc.,
6.000%
k
47,775
Total
171,855
Energy
(0.1%)
2,953
Crestwood
Equity
Partners,
LP,
9.250%
k
28,674
825
Energy
Transfer,
LP,
7.600%
b,k
20,155
1,736
Nustar
Logistics,
LP,
12.304%
b
44,632
131
UGI
Corporation,
Convertible,
7.250%
7,485
Total
100,946
Financials
(0.8%)
1,750
Aegon
Funding
Corporation
II,
5.100%
34,755
Shares
Preferred
Stock
(1.2%)
Value
Financials
(0.8%)
-
continued
3,700
Allstate
Corporation,
5.100%
k
$
72,298
1,000
American
International
Group,
Inc.
5.850%
k
23,280
1,941
Apollo
Global
Management,
Inc.,
Convertible,
6.750%
m
106,949
5,250
Bank
of
America
Corporation,
4.250%
k
89,512
100
Bank
of
America
Corporation,
Convertible,
7.250%
k
111,221
3,050
Capital
One
Financial
Corporation,
5.000%
k
57,096
1,275
Equitable
Holdings,
Inc.,
5.250%
k
25,118
70
First
Horizon
Bank,
6.393%
*,b,k
46,456
1,150
First
Horizon
Corporation,
6.500%
k
24,035
3,700
J.P.
Morgan
Chase
&
Company,
4.200%
k
66,970
3,250
J.P.
Morgan
Chase
&
Company,
4.750%
k
66,593
3,050
KeyCorp,
6.200%
b,k
60,207
2,450
Morgan
Stanley,
4.250%
k
41,773
1,580
Morgan
Stanley,
5.850%
b,k
36,703
2,200
Morgan
Stanley,
7.125%
b,k
56,452
2,000
Public
Storage
Operating
Company,
3.950%
k
33,380
3,200
Public
Storage
Operating
Company,
4.125%
k
57,504
668
Public
Storage
Operating
Company,
4.625%
k
13,160
175
Public
Storage
Operating
Company,
4.700%
k
3,425
650
Regions
Financial
Corporation,
5.700%
b,k
12,740
425
Synovus
Financial
Corporation,
5.875%
b,k
9,150
2,400
U.S.
Bancorp,
4.000%
k
38,424
3,500
Wells
Fargo
&
Company,
4.250%
k
58,415
129
Wells
Fargo
&
Company,
Convertible,
7.500%
k
143,835
Total
1,289,451
Utilities
(0.2%)
1,251
AES
Corporation,
Convertible,
6.875%
76,311
4,025
CMS
Energy
Corporation,
4.200%
k
79,775
2,067
NextEra
Energy,
Inc.,
Convertible,
6.926%
i
78,195
308
NiSource,
Inc.,
Convertible,
7.750%
30,015
3,525
Southern
Company,
4.950%
74,201
Total
338,497
Total
Preferred
Stock
(cost
$2,369,995)
1,900,749
Shares
Common
Stock
(
0
.2
%
)
Value
Communications
Services
(<0.1%)
306
Windstream
Services,
LLC
m
2,907
Total
2,907
Consumer
Discretionary
(0.1%)
1,233
Bloomin'
Brands,
Inc.
30,320
17
Booking
Holdings,
Inc.
m
52,427
Total
82,747
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
353
Shares
Common
Stock
(0.2%)
Value
Energy
(0.1%)
158
EQT
Corporation
$
6,412
1,512
Permian
Resources
Corporation
21,107
173
Pioneer
Natural
Resources
Company
39,712
Total
67,231
Financials
(<0.1%)
76
Bank
of
America
Corporation
2,081
275
BlackRock
TCP
Capital
Corporation
3,228
260
Blackstone
Mortgage
Trust,
Inc.
5,655
258
Encore
Capital
Group,
Inc.
m
12,322
124
FS
KKR
Capital
Corporation
2,442
242
Golub
Capital
BDC,
Inc.
3,550
843
New
York
Community
Bancorp,
Inc.
9,560
66
Wells
Fargo
&
Company
2,697
Total
41,535
Industrials
(<0.1%)
55
Chart
Industries,
Inc.
m
9,301
420
Uber
Technologies,
Inc.
m
19,316
Total
28,617
Information
Technology
(<0.1%)
178
Western
Digital
Corporation
m
8,122
Total
8,122
Materials
(<0.1%)
247
Allegheny
Technologies,
Inc.
m
10,164
Total
10,164
Real
Estate
(<0.1%)
199
Kite
Realty
Group
Trust
4,263
Total
4,263
Utilities
(<0.1%)
639
NiSource,
Inc.
15,770
Total
15,770
Total
Common
Stock
(cost
$222,530)
261,356
Shares
or
Principal
Amount
Short-Term
Investments
(
2
.9
%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
100,000
5.265%,
10/4/2023
n,o
99,971
100,000
5.270%,
10/25/2023
n,o
99,673
Thrivent
Core
Short-Term
Reserve
Fund
452,862
5.650%
4,528,620
U.S.
Treasury
Bills
100,000
5.267%,
11/21/2023
n,p
99,262
Total
Short-Term
Investments
(cost
$4,823,846)
4,827,526
Total
Investments
(cost
$187,854,540)
103.2%
$
170,726,354
Other
Assets
and
Liabilities,
Net
(3.2%)
(
5,222,027
)
Total
Net
Assets
100.0%
$
165,504,327
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
29,
2023.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
f
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
29,
2023,
the
value
of
these
investments
was
$60,131,656
or
36.3%
of
total
net
assets.
g
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
29,
2023.
h
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
i
All
or
a
portion
of
the
security
is
on
loan.
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
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
Defaulted
security.  Interest
is
not
being
accrued.
m
Non-income
producing
security.
n
The
interest
rate
shown
reflects
the
yield.
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
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.
*
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
Opportunity
Income
Plus
Portfolio
as
of
September
29,
2023
was
$51,586
or
0.03%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
29,
2023.
Security
Acquisition
Date
Cost
Credit
Suisse
Group
AG,
12/29/2049
8/24/2015
$
58,420
First
Horizon
Bank,
6.393%,
3/5/2019
6/21/2017
53,690
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
354
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Opportunity
Income
Plus
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
3,025,864
Common
Stock
336,931
Total
lending
$3,362,795
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$3,470,293
Net
amounts
due
to
counterparty
$107,498
Definitions:
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
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:
CMT
1Y
-
Constant
Maturity
Treasury
Yield
1
Year
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
SOFRRATE
-
Secured
Overnight
Financing
Rate
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
TSFR6M
-
CME
Term
SOFR
6
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
355
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
374,035
321,498
52,537
Capital
Goods
1,484,185
1,338,207
145,978
Communications
Services
2,124,928
2,124,928
Consumer
Cyclical
2,438,283
2,438,283
Consumer
Non-Cyclical
2,162,220
2,118,030
44,190
Energy
345,971
345,971
Financials
1,045,058
1,045,058
Technology
2,998,065
2,998,065
Transportation
855,696
855,696
Utilities
116,152
116,152
Long-Term
Fixed
Income
Asset-Backed
Securities
16,976,166
16,976,166
Basic
Materials
3,003,686
3,003,686
Capital
Goods
6,352,841
6,352,841
Collateralized
Mortgage
Obligations
12,036,372
12,036,372
Commercial
Mortgage-Backed
Securities
1,503,561
1,503,561
Communications
Services
7,571,645
7,571,645
Consumer
Cyclical
10,361,485
10,361,485
Consumer
Non-Cyclical
8,736,098
8,736,098
Energy
7,544,779
7,544,779
Financials
20,454,376
20,454,376
Foreign
Government
59,641
59,641
Mortgage-Backed
Securities
16,386,175
16,386,175
Technology
5,325,818
5,325,818
Transportation
2,186,841
2,186,841
U.S.
Government
&
Agencies
6,739,881
6,739,881
Utilities
4,228,852
4,228,852
Registered
Investment
Companies
U.S.
Unaffiliated
2,005,311
1,983,905
21,406
Preferred
Stock
Communications
Services
171,855
171,855
Energy
100,946
100,946
Financials
1,289,451
1,242,995
46,456
Utilities
338,497
338,497
Common
Stock
Communications
Services
2,907
2,907
Consumer
Discretionary
82,747
82,747
Energy
67,231
67,231
Financials
41,535
41,535
Industrials
28,617
28,617
Information
Technology
8,122
8,122
Materials
10,164
10,164
Real
Estate
4,263
4,263
Utilities
15,770
15,770
Short-Term
Investments
298,906
298,906
Subtotal
Investments
in
Securities
$
147,879,132
$
4,096,647
$
143,518,374
$
264,111
Other
Investments  *
Total
U.S.
Affiliated
Registered
Investment
Cos.
14,848,309
Affiliated
Short-Term
Investments
4,528,620
Collateral
Held
for
Securities
Loaned
3,470,293
Subtotal
Other
Investments
$
22,847,222
Total
Investments
at
Value
$
170,726,354
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
356
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Opportunity
Income
Plus
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Credit
Default
Swaps
949
949
Total
Asset
Derivatives
$
949
$
$
949
$
Liability
Derivatives
Futures
Contracts
215,033
215,033
Total
Liability
Derivatives
$
215,033
$
215,033
$
$
The
following
table
presents
Opportunity
Income
Plus
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$199,644
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
25
December
2023
$
5,090,300
(
$
22,526
)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
21
December
2023
2,684,944
(
192,507
)
Total
Futures
Long
Contracts
$
7,775,244
(
$
215,033
)
Total
Futures
Contracts
$
7,775,244
(
$
215,033
)
The
following
table
presents
Opportunity
Income
Plus
Portfolio's
swaps
contracts
held
as
of
September
29,
2023.
Investments
totaling
$99,262
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
41,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2028
$
1,465,000
$
$
949
$
949
Total
Credit
Default
Swaps
$
$
949
$
949
1
As
the
buyer
of
protection,
Opportunity
Income
Plus
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,
Opportunity
Income
Plus
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
Opportunity
Income
Plus
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.
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
357
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$
21,761
$
747
$
7,525
$
14,848
2,004
9.0%
Total
U.S.
Affiliated
Registered
Investment
Companies
21,761
14,848
9.0
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
14,386
49,807
59,664
4,529
453
2.7
Total
Affiliated
Short-Term
Investments
14,386
4,529
2.7
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1,347
22,864
20,741
3,470
3,470
2.1
Total
Collateral
Held
for
Securities
Loaned
1,347
3,470
2.1
Total
Value
$
37,494
$
22,847
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
U.S.
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
($1,983)
$1,848
$
$
747
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
1
(1)
241
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
988
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
29
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
29
Total
Value
($1,982)
$1,847
$
Real
Estate
Securities
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
358
Shares
Common
Stock
(
98
.8
%
)
Value
Data
Center
REITs
(7.7%)
27,057
Digital
Realty
Trust,
Inc.
$
3,274,438
10,343
Equinix,
Inc.
7,511,707
Total
10,786,145
Diversified
REITs
(1.6%)
19,252
Broadstone
Net
Lease,
Inc.
275,304
67,053
Essential
Properties
Realty
Trust,
Inc.
1,450,356
12,333
Gladstone
Commercial
Corporation
149,969
3,245
One
Liberty
Properties,
Inc.
61,233
6,307
WP
Carey,
Inc.
341,083
Total
2,277,945
Health
Care
REITs
(7.8%)
76,047
CareTrust
REIT,
Inc.
1,558,963
90,422
Global
Medical
REIT,
Inc.
811,085
22,493
Healthpeak
Properties,
Inc.
412,971
10,307
National
Health
Investors,
Inc.
529,368
27,489
Sabra
Health
Care
REIT,
Inc.
383,197
74,028
Ventas,
Inc.
3,118,800
50,172
Welltower,
Inc.
4,110,090
Total
10,924,474
Hotel
&
Resort
REITs
(3.8%)
12,634
Chatham
Lodging
Trust
120,907
138,293
Host
Hotels
&
Resorts,
Inc.
2,222,369
95,734
Park
Hotels
&
Resorts,
Inc.
1,179,443
78,038
Pebblebrook
Hotel
Trust
1,060,537
94,796
Service
Properties
Trust
728,981
2,149
Xenia
Hotels
&
Resorts,
Inc.
25,315
Total
5,337,552
Industrial
REITs
(15.6%)
33,701
First
Industrial
Realty
Trust,
Inc.
1,603,830
178,480
LXP
Industrial
Trust
1,588,472
8,082
Plymouth
Industrial
REIT,
Inc.
169,318
114,965
Prologis,
Inc.
12,900,223
35,485
Rexford
Industrial
Realty,
Inc.
1,751,185
57,675
STAG
Industrial,
Inc.
1,990,364
35,137
Terreno
Realty
Corporation
1,995,782
Total
21,999,174
Multi-Family
Residential
REITs
(12.8%)
52,445
Apartment
Income
REIT
Corporation
1,610,062
24,100
AvalonBay
Communities,
Inc.
4,138,934
13,251
Camden
Property
Trust
1,253,280
38,310
Equity
Residential
2,249,180
13,458
Essex
Property
Trust,
Inc.
2,854,307
33,192
Independence
Realty
Trust,
Inc.
467,011
23,025
Mid-America
Apartment
Communities,
Inc.
2,962,166
69,940
UDR,
Inc.
2,494,760
Total
18,029,700
Office
REITs
(2.9%)
30,613
Alexandria
Real
Estate
Equities,
Inc.
3,064,361
3,470
Boston
Properties,
Inc.
206,396
22,995
COPT
Defense
Properties
547,971
15,599
Peakstone
Realty
Trust
259,567
Shares
Common
Stock
(98.8%)
Value
Office
REITs
(2.9%)
-
continued
1,169
Vornado
Realty
Trust
$
26,513
Total
4,104,808
Other
Specialized
REITs
(6.6%)
10,579
EPR
Properties
439,452
72,287
Four
Corners
Property
Trust,
Inc.
1,604,049
33,964
Gaming
and
Leisure
Properties,
Inc.
1,547,060
42,924
Gladstone
Land
Corporation
610,809
40,461
Iron
Mountain,
Inc.
2,405,406
654
Lamar
Advertising
Company
54,589
5,527
Outfront
Media,
Inc.
55,823
10,815
Safehold,
Inc.
192,507
19,620
Uniti
Group,
Inc.
92,606
79,233
VICI
Properties,
Inc.
2,305,680
Total
9,307,981
Retail
REITs
(15.1%)
36,610
Agree
Realty
Corporation
2,022,336
55,688
Getty
Realty
Corporation
1,544,228
32,336
Kimco
Realty
Corporation
568,790
74,891
Kite
Realty
Group
Trust
1,604,165
70,332
NetSTREIT
Corporation
1,095,773
55,713
Phillips
Edison
and
Company,
Inc.
1,868,614
62,851
Realty
Income
Corporation
3,138,779
36,067
Regency
Centers
Corporation
2,143,823
92,483
Retail
Opportunity
Investments
Corporation
1,144,940
1,793
Saul
Centers,
Inc.
63,239
32,542
Simon
Property
Group,
Inc.
3,515,512
106,102
SITE
Centers
Corporation
1,308,238
16,964
Spirit
Realty
Capital,
Inc.
568,803
29,180
Tanger
Factory
Outlet
Centers,
Inc.
659,468
Total
21,246,708
Self-Storage
REITs
(7.7%)
55,147
CubeSmart
2,102,755
18,802
Extra
Space
Storage,
Inc.
2,285,947
24,456
Public
Storage
6,444,645
Total
10,833,347
Single-Family
Residential
REITs
(4.1%)
3,873
American
Homes
4
Rent
130,481
4,270
Equity
Lifestyle
Properties,
Inc.
272,042
84,108
Invitation
Homes,
Inc.
2,665,383
23,301
Sun
Communities,
Inc.
2,757,440
Total
5,825,346
Telecom
Tower
REITs
(12.0%)
55,242
American
Tower
Corporation
9,084,547
44,074
Crown
Castle,
Inc.
4,056,130
18,574
SBA
Communications
Corporation
3,717,958
Total
16,858,635
Timber
REITs
(1.1%)
52,442
Weyerhaeuser
Company
1,607,872
Total
1,607,872
Total
Common
Stock
(cost
$118,194,273)
139,139,687
Real
Estate
Securities
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
359
Shares
or
Principal
Amount
Short-Term
Investments
(
0
.9
%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
100,000
5.315%,
12/15/2023
a,b
$
98,948
Thrivent
Core
Short-Term
Reserve
Fund
117,514
5.650%
1,175,138
Total
Short-Term
Investments
(cost
$1,274,016)
1,274,086
Total
Investments
(cost
$119,468,289)
99.7%
$
140,413,773
Other
Assets
and
Liabilities,
Net
0.3%
427,875
Total
Net
Assets
100.0%
$
140,841,648
a
The
interest
rate
shown
reflects
the
yield.
b
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
Definitions:
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Real
Estate
Securities
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Data
Center
REITs
10,786,145
10,786,145
Diversified
REITs
2,277,945
2,277,945
Health
Care
REITs
10,924,474
10,924,474
Hotel
&
Resort
REITs
5,337,552
5,337,552
Industrial
REITs
21,999,174
21,999,174
Multi-Family
Residential
REITs
18,029,700
18,029,700
Office
REITs
4,104,808
4,104,808
Other
Specialized
REITs
9,307,981
9,307,981
Retail
REITs
21,246,708
21,246,708
Self-Storage
REITs
10,833,347
10,833,347
Single-Family
Residential
REITs
5,825,346
5,825,346
Telecom
Tower
REITs
16,858,635
16,858,635
Timber
REITs
1,607,872
1,607,872
Short-Term
Investments
98,948
98,948
Subtotal
Investments
in
Securities
$
139,238,635
$
139,139,687
$
98,948
$
Other
Investments  *
Total
Affiliated
Short-Term
Investments
1,175,138
Subtotal
Other
Investments
$
1,175,138
Total
Investments
at
Value
$
140,413,773
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Real
Estate
Securities
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
44,932
44,932
Total
Liability
Derivatives
$
44,932
$
44,932
$
$
Real
Estate
Securities
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
360
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
S&P
-
Standard
&
Poor's
The
following
table
presents
Real
Estate
Securities
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$98,948
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
Micro
E-mini
S&P
500
Index
50
December
2023
$
1,126,307
(
$
44,932
)
Total
Futures
Long
Contracts
$
1,126,307
(
$
44,932
)
Total
Futures
Contracts
$
1,126,307
(
$
44,932
)
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
418
$
14,149
$
13,392
$
1,175
118
0.8%
Total
Affiliated
Short-Term
Investments
418
1,175
0.8
Total
Value
$
418
$
1,175
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$
44
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
44
Total
Value
$–
$–
$
Small
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
361
Shares
Common
Stock
(
96
.5
%
)
Value
Communications
Services
(3.1%)
73,897
Cargurus,
Inc.
a
$
1,294,675
107,477
QuinStreet,
Inc.
a
964,069
17,562
Ziff
Davis,
Inc.
a
1,118,524
Total
3,377,268
Consumer
Discretionary
(11.4%)
15,096
Boot
Barn
Holdings,
Inc.
a
1,225,644
118,185
Clarus
Corporation
893,478
11,808
Columbia
Sportswear
Company
874,973
122,150
Everi
Holdings,
Inc.
a
1,614,823
7,830
Five
Below,
Inc.
a
1,259,847
7,987
Fox
Factory
Holding
Corporation
a
791,352
7,212
Meritage
Homes
Corporation
882,677
19,503
Papa
John's
International,
Inc.
1,330,495
12,972
Skyline
Champion
Corporation
a
826,576
60,362
Stoneridge,
Inc.
a
1,211,465
77,926
ThredUp,
Inc.
a
312,483
6,039
Wingstop,
Inc.
1,086,054
Total
12,309,867
Consumer
Staples
(6.6%)
9,133
Celsius
Holdings,
Inc.
a
1,567,223
20,137
e.l.f.
Beauty,
Inc.
a
2,211,647
7,788
J
&
J
Snack
Foods
Corporation
1,274,506
6,039
Lancaster
Colony
Corporation
996,616
47,293
Turning
Point
Brands,
Inc.
1,091,995
Total
7,141,987
Energy
(2.7%)
20,181
Matador
Resources
Company
1,200,366
82,367
TechnipFMC
plc
1,675,345
Total
2,875,711
Financials
(10.2%)
16,452
Hamilton
Lane,
Inc.
1,487,919
18,738
Houlihan
Lokey,
Inc.
2,007,214
6,112
Kinsale
Capital
Group,
Inc.
2,531,163
13,566
RLI
Corporation
1,843,484
31,832
Triumph
Financial,
Inc.
a
2,062,395
22,603
Western
Alliance
Bancorp
1,039,060
Total
10,971,235
Health
Care
(15.8%)
1,567
Agiliti,
Inc.
a
10,170
2,887
Argenx
SE
ADR
a
1,419,336
4,952
Ascendis
Pharma
AS
ADR
a
463,705
33,308
Enovis
Corporation
a
1,756,331
33,809
Halozyme
Therapeutics,
Inc.
a
1,291,504
9,268
Immunocore
Holdings
plc
ADR
a
481,009
35,786
Inmode,
Ltd.
a
1,090,042
4,796
Inspire
Medical
Systems,
Inc.
a
951,718
23,465
Lantheus
Holdings,
Inc.
a
1,630,348
103,129
Maravai
LifeSciences
Holdings,
Inc.
a
1,031,290
9,717
Natera,
Inc.
a
429,977
43,027
Phreesia,
Inc.
a
803,744
64,684
Point
Biopharma
Global,
Inc.
a
431,442
46,640
Progyny,
Inc.
a
1,586,693
8,676
Repligen
Corporation
a
1,379,571
2,202
Sarepta
Therapeutics,
Inc.
a
266,927
86,603
scPharmaceuticals,
Inc.
a
616,613
42,141
Vericel
Corporation
a
1,412,566
Shares
Common
Stock
(96.5%)
Value
Health
Care
(15.8%)
-
continued
12,329
Vor
BioPharma,
Inc.
a,b
$
26,138
Total
17,079,124
Industrials
(18.7%)
20,064
ASGN,
Inc.
a
1,638,827
48,045
Badger
Infrastructure
Solutions,
Ltd.
1,227,080
10,845
Beacon
Roofing
Supply,
Inc.
a
836,909
8,145
Chart
Industries,
Inc.
a
1,377,482
4,791
Curtiss-Wright
Corporation
937,263
58,484
ExlService
Holdings,
Inc.
a
1,639,891
63,563
First
Advantage
Corporation
876,534
19,597
Helios
Technologies,
Inc.
1,087,242
138,740
Janus
International
Group,
Inc.
a
1,484,518
6,062
Lincoln
Electric
Holdings,
Inc.
1,102,011
11,965
Middleby
Corporation
a
1,531,520
17,329
RB
Global,
Inc.
1,083,062
4,489
Saia,
Inc.
a
1,789,540
10,802
Simpson
Manufacturing
Company,
Inc.
1,618,248
5,117
SiteOne
Landscape
Supply,
Inc.
a
836,374
25,263
WillScot
Mobile
Mini
Holdings
Corporation
a
1,050,688
Total
20,117,189
Information
Technology
(22.1%)
41,159
Calix,
Inc.
a
1,886,729
6,925
Cognex
Corporation
293,897
22,154
Descartes
Systems
Group,
Inc.
a
1,625,660
99,156
Grid
Dynamics
Holdings,
Inc.
a
1,207,720
22,361
Guidewire
Software,
Inc.
a
2,012,490
57,596
Hackett
Group,
Inc.
1,358,690
23,035
Lattice
Semiconductor
Corporation
a
1,979,398
3,513
Littelfuse,
Inc.
868,835
1,107
Monolithic
Power
Systems,
Inc.
511,434
16,435
Nova,
Ltd.
a
1,847,951
36,696
PagerDuty,
Inc.
a
825,293
17,066
PDF
Solutions,
Inc.
a
552,938
6,211
Silicon
Laboratories,
Inc.
a
719,793
44,378
Sprout
Social,
Inc.
a
2,213,575
4,864
SPS
Commerce,
Inc.
a
829,847
93,988
TTM
Technologies,
Inc.
a
1,210,565
49,740
Varonis
Systems,
Inc.
a
1,519,060
23,422
Workiva,
Inc.
a
2,373,585
Total
23,837,460
Materials
(2.8%)
216,837
Ranpak
Holdings
Corporation
a
1,179,593
32,881
Summit
Materials,
Inc.
a
1,023,914
64,019
Tronox
Holdings
plc
860,416
Total
3,063,923
Real
Estate
(2.5%)
25,457
Agree
Realty
Corporation
1,406,245
8,769
FirstService
Corporation
1,276,240
Total
2,682,485
Small
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
362
Shares
Common
Stock
(96.5%)
Value
Utilities
(0.6%)
11,756
Black
Hills
Corporation
$
594,736
Total
594,736
Total
Common
Stock
(cost
$93,041,469)
104,050,985
Shares
Registered
Investment
Companies
(
0
.9
%
)
Value
U.S.
Unaffiliated  (0.9%)
13,485
SPDR
S&P
Biotech
ETF
984,675
Total
984,675
Total
Registered
Investment
Companies
(cost
$1,096,827)
984,675
Shares
Collateral
Held
for
Securities
Loaned
(
<0.1%
)
Value
38,250
Thrivent
Cash
Management
Trust
38,250
Total
Collateral
Held
for
Securities
Loaned
(cost
$38,250)
38,250
Shares
Short-Term
Investments
(
2
.0
%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
213,903
5.650%
2,139,029
Total
Short-Term
Investments
(cost
$2,139,029)
2,139,029
Total
Investments
(cost
$96,315,575)
99.4%
$
107,212,939
Other
Assets
and
Liabilities,
Net
0.6%
673,011
Total
Net
Assets
100.0%
$
107,885,950
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
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
36,040
Total
lending
$36,040
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$38,250
Net
amounts
due
to
counterparty
$2,210
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
plc
-
Public
Limited
Company
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.
Small
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
363
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Small
Cap
Growth
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
3,377,268
3,377,268
Consumer
Discretionary
12,309,867
12,309,867
Consumer
Staples
7,141,987
7,141,987
Energy
2,875,711
2,875,711
Financials
10,971,235
10,971,235
Health
Care
17,079,124
17,079,124
Industrials
20,117,189
18,890,109
1,227,080
Information
Technology
23,837,460
23,837,460
Materials
3,063,923
3,063,923
Real
Estate
2,682,485
2,682,485
Utilities
594,736
594,736
Registered
Investment
Companies
U.S.
Unaffiliated
984,675
984,675
Subtotal
Investments
in
Securities
$
105,035,660
$
103,808,580
$
1,227,080
$
Other
Investments  *
Total
Affiliated
Short-Term
Investments
2,139,029
Collateral
Held
for
Securities
Loaned
38,250
Subtotal
Other
Investments
$
2,177,279
Total
Investments
at
Value
$
107,212,939
*
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
the
table
above
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
3,189
$
30,591
$
31,641
$
2,139
214
2.0%
Total
Affiliated
Short-Term
Investments
3,189
2,139
2.0
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1,088
15,725
16,775
38
38
<0.1
Total
Collateral
Held
for
Securities
Loaned
1,088
38
<0.1
Total
Value
$
4,277
$
2,177
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$
105
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
105
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
8
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
8
Total
Value
$–
$–
$
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
364
Shares
Common
Stock
(
99.1%
)
Value
Communications
Services
(2.9%)
27,827
AMC
Networks,
Inc.
a
$
327,802
9,705
ATN
International,
Inc.
306,290
79,381
Cargurus,
Inc.
a
1,390,755
56,548
Cars.com,
Inc.
a
953,399
99,031
Cinemark
Holdings,
Inc.
a
1,817,219
39,800
Cogent
Communications
Holdings
2,463,620
68,272
Consolidated
Communications
Holdings,
Inc.
a
233,490
227,013
DISH
Network
Corporation
a
1,330,296
53,756
E.W.
Scripps
Company
a
294,583
56,511
Gogo,
Inc.
a
674,176
38,929
John
Wiley
and
Sons,
Inc.
1,446,991
922,103
Lumen
Technologies,
Inc.
a
1,309,386
15,234
Madison
Square
Garden
Sports
Corporation
2,685,754
22,515
Marcus
Corporation
348,983
47,032
QuinStreet,
Inc.
a
421,877
25,503
Scholastic
Corporation
972,684
45,981
Shenandoah
Telecommunications
Company
947,668
22,113
Shutterstock,
Inc.
841,400
23,160
TechTarget,
Inc.
a
703,138
89,564
Telephone
and
Data
Systems,
Inc.
1,639,917
27,857
Thryv
Holdings,
Inc.
a
522,876
98,489
Tripadvisor,
Inc.
a
1,632,948
62,859
Yelp,
Inc.
a
2,614,306
Total
25,879,558
Consumer
Discretionary
(13.7%)
45,799
Abercrombie
&
Fitch
Company
a
2,581,690
69,941
Academy
Sports
and
Outdoors,
Inc.
3,306,111
38,004
Adtalem
Global
Education,
Inc.
a
1,628,471
54,379
Advance
Auto
Parts,
Inc.
3,041,417
107,084
American
Axle
&
Manufacturing
Holdings,
Inc.
a
777,430
169,790
American
Eagle
Outfitters,
Inc.
2,820,212
5,463
America's
Car-Mart,
Inc.
a
497,078
18,822
Asbury
Automotive
Group,
Inc.
a
4,330,377
21,565
BJ's
Restaurants,
Inc.
a
505,915
79,676
Bloomin'
Brands,
Inc.
1,959,233
27,437
Boot
Barn
Holdings,
Inc.
a
2,227,610
40,523
Brinker
International,
Inc.
a
1,280,122
27,233
Buckle,
Inc.
909,310
31,191
Caleres,
Inc.
897,053
7,382
Cavco
Industries,
Inc.
a
1,961,102
26,070
Century
Communities,
Inc.
1,740,955
43,155
Cheesecake
Factory,
Inc.
1,307,596
112,937
Chico's
FAS,
Inc.
a
844,769
16,502
Chuy's
Holdings,
Inc.
a
587,141
20,265
Cracker
Barrel
Old
Country
Store,
Inc.
1,361,808
117,515
Dana,
Inc.
1,723,945
31,411
Dave
&
Buster's
Entertainment,
Inc.
a
1,164,406
45,048
Designer
Brands,
Inc.
b
570,308
14,226
Dine
Brands
Global,
Inc.
703,476
25,925
Dorman
Products,
Inc.
a
1,964,078
20,876
Ethan
Allen
Interiors,
Inc.
624,192
74,752
Foot
Locker,
Inc.
1,296,947
73,493
Frontdoor,
Inc.
a
2,248,151
30,180
Gentherm,
Inc.
a
1,637,567
37,121
G-III
Apparel
Group,
Ltd.
a
925,055
19,804
Golden
Entertainment,
Inc.
676,901
23,247
Green
Brick
Partners,
Inc.
a
964,983
Shares
Common
Stock
(99.1%)
Value
Consumer
Discretionary
(13.7%)
-
continued
12,854
Group
1
Automotive,
Inc.
$
3,453,998
24,976
Guess
?,
Inc.
b
540,481
320,076
Hanesbrands,
Inc.
1,267,501
12,287
Haverty
Furniture
Companies,
Inc.
353,620
11,661
Hibbet,
Inc.
554,014
21,572
Installed
Building
Products,
Inc.
2,694,127
25,243
iRobot
Corporation
a
956,710
18,395
Jack
in
the
Box,
Inc.
1,270,359
45,694
Kontoor
Brands,
Inc.
2,006,423
39,595
La-Z-Boy,
Inc.
1,222,694
23,166
LCI
Industries
2,720,152
168,327
Leslie's,
Inc.
a
952,731
18,740
LGI
Homes,
Inc.
a
1,864,443
54,556
M.D.C.
Holdings,
Inc.
2,249,344
25,430
M/I
Homes,
Inc.
a
2,137,137
18,239
MarineMax,
Inc.
a
598,604
33,633
Meritage
Homes
Corporation
4,116,343
82,904
Mister
Car
Wash,
Inc.
a,b
456,801
12,259
Monarch
Casino
&
Resort,
Inc.
761,284
28,741
Monro,
Inc.
798,138
14,287
Movado
Group,
Inc.
390,749
71,499
National
Vision
Holdings,
Inc.
a
1,156,854
348,596
Newell
Brands,
Inc.
3,147,822
30,978
ODP
Corporation
a
1,429,635
13,519
Oxford
Industries,
Inc.
1,299,581
29,948
Papa
John's
International,
Inc.
2,043,052
19,100
Patrick
Industries,
Inc.
1,433,646
60,020
Perdoceo
Education
Corporation
1,026,342
43,008
Phinia,
Inc.
1,152,184
304,016
Sabre
Corporation
a
1,365,032
98,588
Sally
Beauty
Holdings,
Inc.
a
826,167
34,295
Shake
Shack,
Inc.
a
1,991,511
16,505
Shoe
Carnival,
Inc.
396,615
41,540
Signet
Jewelers,
Ltd.
2,982,987
65,522
Six
Flags
Entertainment
Corporation
a
1,540,422
19,305
Sleep
Number
Corporation
a
474,710
14,564
Sonic
Automotive,
Inc.
695,577
117,330
Sonos,
Inc.
a
1,514,730
17,092
Standard
Motor
Products,
Inc.
574,633
64,764
Steven
Madden,
Ltd.
2,057,552
20,136
Strategic
Education,
Inc.
1,515,234
37,009
Stride,
Inc.
a
1,666,515
16,213
Sturm,
Ruger
&
Company,
Inc.
845,022
90,559
Tri
Pointe
Homes,
Inc.
a
2,476,789
41,992
Upbound
Group,
Inc.
1,236,664
51,728
Urban
Outfitters,
Inc.
a
1,690,988
70,576
Victoria's
Secret
&
Company
a
1,177,208
53,063
Vista
Outdoor,
Inc.
a
1,757,447
27,637
Winnebago
Industries,
Inc.
1,643,020
72,740
Wolverine
World
Wide,
Inc.
586,284
19,457
XPEL,
Inc.
a
1,500,329
Total
123,635,614
Consumer
Staples
(5.0%)
28,807
Andersons,
Inc.
1,483,849
66,133
B&G
Foods,
Inc.
654,055
16,269
Calavo
Growers,
Inc.
410,467
37,186
Cal-Maine
Foods,
Inc.
1,800,546
8,715
Central
Garden
&
Pet
Company
a
384,680
37,503
Central
Garden
&
Pet
Company,
Class
A
a
1,503,495
32,295
Chefs'
Warehouse,
Inc.
a
684,008
49,817
e.l.f.
Beauty,
Inc.
a
5,471,401
46,483
Edgewell
Personal
Care
Company
1,718,012
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
365
Shares
Common
Stock
(99.1%)
Value
Consumer
Staples
(5.0%)
-
continued
60,817
Energizer
Holdings,
Inc.
$
1,948,577
30,814
Fresh
Del
Monte
Produce,
Inc.
796,234
81,823
Hain
Celestial
Group,
Inc.
a
848,504
121,540
Hostess
Brands,
Inc.
a
4,048,497
16,364
Inter
Parfums,
Inc.
2,198,340
14,117
J
&
J
Snack
Foods
Corporation
2,310,247
8,195
John
B.
Sanfilippo
&
Son,
Inc.
809,666
9,961
Medifast,
Inc.
745,581
14,299
MGP
Ingredients,
Inc.
1,508,259
21,350
National
Beverage
Corporation
a
1,003,877
45,702
Nu
Skin
Enterprises,
Inc.
969,339
23,575
PriceSmart,
Inc.
1,754,687
82,871
Simply
Good
Foods
Company
a
2,860,707
31,782
SpartanNash
Company
699,204
15,927
Tootsie
Roll
Industries,
Inc.
b
475,580
46,934
TreeHouse
Foods,
Inc.
a
2,045,384
53,608
United
Natural
Foods,
Inc.
a
758,017
22,538
Universal
Corporation
1,064,019
10,241
USANA
Health
Sciences,
Inc.
a
600,225
121,250
Vector
Group,
Ltd.
1,290,100
12,407
WD-40
Company
2,521,599
Total
45,367,156
Energy
(5.3%)
125,986
Archrock,
Inc.
1,587,424
21,909
Bristow
Group,
Inc.
a
617,176
59,301
California
Resources
Corporation
3,321,449
51,127
Callon
Petroleum
Company
a
2,000,088
84,069
Comstock
Resources,
Inc.
927,281
27,212
CONSOL
Energy,
Inc.
2,854,811
42,703
Core
Laboratories,
Inc.
1,025,299
26,670
CVR
Energy,
Inc.
907,580
31,038
Dorian
LPG,
Ltd.
891,722
31,263
Dril-Quip,
Inc.
a
880,679
54,456
Green
Plains,
Inc.
a
1,639,126
129,690
Helix
Energy
Solutions
Group,
Inc.
a
1,448,637
90,956
Helmerich
&
Payne,
Inc.
3,834,705
141,846
Liberty
Energy,
Inc.
2,626,988
8,208
Nabors
Industries,
Ltd.
a
1,010,733
76,587
Northern
Oil
and
Gas,
Inc.
3,081,095
92,193
Oceaneering
International,
Inc.
a
2,371,204
58,458
Oil
States
International,
Inc.
a
489,293
51,395
Par
Pacific
Holdings,
Inc.
a
1,847,136
293,217
Patterson-UTI
Energy,
Inc.
4,058,123
79,436
ProPetro
Holding
Corporation
a
844,405
13,840
REX
American
Resources
Corporation
a
563,565
77,879
RPC,
Inc.
696,238
108,555
SM
Energy
Company
4,304,206
91,924
Talos
Energy,
Inc.
a
1,511,231
70,546
U.S.
Silica
Holdings,
Inc.
a
990,466
15,311
Vital
Energy,
Inc.
a
848,536
55,068
World
Kinect
Corporation
1,235,175
Total
48,414,371
Financials
(17.9%)
41,444
Ambac
Financial
Group,
Inc.
a
499,815
56,585
American
Equity
Investment
Life
Holding
Company
3,035,219
59,453
Ameris
Bancorp
2,282,401
17,546
AMERISAFE,
Inc.
878,528
118,965
Apollo
Commercial
Real
Estate
Finance,
Inc.
1,205,115
170,611
Arbor
Realty
Trust,
Inc.
2,589,875
208,856
ARMOUR
Residential
REIT,
Inc.
887,638
Shares
Common
Stock
(99.1%)
Value
Financials
(17.9%)
-
continued
62,634
Artisan
Partners
Asset
Management,
Inc.
$
2,343,764
50,902
Assured
Guaranty,
Ltd.
3,080,589
68,614
Atlantic
Union
Bankshares
Corporation
1,974,711
33,628
Avantax,
Inc.
a
860,204
47,990
Axos
Financial,
Inc.
a
1,816,901
15,102
B.
Riley
Financial,
Inc.
b
619,031
47,935
Banc
of
California,
Inc.
b
593,435
13,260
BancFirst
Corporation
1,150,040
49,657
Bancorp,
Inc.
a
1,713,166
36,343
Bank
of
Hawaii
Corporation
b
1,805,884
68,075
BankUnited,
Inc.
1,545,302
31,419
Banner
Corporation
1,331,537
40,259
Berkshire
Hills
Bancorp,
Inc.
807,193
157,631
Blackstone
Mortgage
Trust,
Inc.
3,428,474
45,945
Bread
Financial
Holdings,
Inc.
1,571,319
29,618
BrightSphere
Investment
Group
574,293
81,110
Brookline
Bancorp,
Inc.
738,912
115,863
Capitol
Federal
Financial,
Inc.
552,667
66,356
Cathay
General
Bancorp
2,306,535
24,737
Central
Pacific
Financial
Corporation
412,613
13,728
City
Holding
Company
1,240,325
48,966
Community
Bank
System,
Inc.
2,066,855
25,762
Customers
Bancorp,
Inc.
a
887,501
121,098
CVB
Financial
Corporation
2,006,594
31,967
Dime
Community
Bancshares,
Inc.
638,061
22,802
Donnelley
Financial
Solutions,
Inc.
a
1,283,297
27,358
Eagle
Bancorp,
Inc.
586,829
62,222
Ellington
Financial,
Inc.
b
775,908
23,843
Employers
Holdings,
Inc.
952,528
21,484
Encore
Capital
Group,
Inc.
a
1,026,076
28,164
Enova
International,
Inc.
a
1,432,703
59,124
EVERTEC,
Inc.
2,198,230
47,663
EZCORP,
Inc.
a
393,220
32,109
FB
Financial
Corporation
910,611
163,106
First
Bancorp/Puerto
Rico
2,195,407
37,583
First
Bancorp/Southern
Pines,
NC
1,057,586
93,681
First
Commonwealth
Financial
Corporation
1,143,845
87,020
First
Financial
Bancorp
1,705,592
116,737
First
Hawaiian,
Inc.
2,107,103
75,206
Franklin
BSP
Realty
Trust,
Inc.
995,727
150,053
Fulton
Financial
Corporation
1,817,142
423,631
Genworth
Financial,
Inc.
a
2,482,478
21,863
Goosehead
Insurance,
Inc.
a
1,629,449
41,178
Green
Dot
Corporation
a
573,610
27,889
Hanmi
Financial
Corporation
452,638
98,002
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Inc.
2,077,642
5,504
HCI
Group,
Inc.
298,812
32,062
Heritage
Financial
Corporation
522,931
42,278
Hilltop
Holdings,
Inc.
1,199,004
109,792
Hope
Bancorp,
Inc.
971,659
37,362
Horace
Mann
Educators
Corporation
1,097,696
40,375
Independent
Bank
Corporation
1,982,009
32,858
Independent
Bank
Group,
Inc.
1,299,534
40,782
Invesco
Mortgage
Capital,
Inc.
408,228
66,689
Jackson
Financial,
Inc.
2,548,854
34,415
James
River
Group
Holdings,
Ltd.
528,270
53,103
KKR
Real
Estate
Finance
Trust,
Inc.
630,333
23,266
Lakeland
Financial
Corporation
1,104,204
155,184
Lincoln
National
Corporation
3,831,493
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
366
Shares
Common
Stock
(99.1%)
Value
Financials
(17.9%)
-
continued
24,314
Mercury
General
Corporation
$
681,521
60,901
Moelis
&
Company
2,748,462
61,153
Mr.
Cooper
Group,
Inc.
a
3,275,355
34,506
National
Bank
Holdings
Corporation
1,026,899
80,094
Navient
Corporation
1,379,219
43,206
NBT
Bancorp,
Inc.
1,369,198
83,475
New
York
Mortgage
Trust,
Inc.
708,703
75,270
NMI
Holdings,
Inc.
a
2,039,064
36,216
Northfield
Bancorp,
Inc.
342,241
116,267
Northwest
Bancshares,
Inc.
1,189,411
43,115
OFG
Bancorp
1,287,414
87,730
Pacific
Premier
Bancorp,
Inc.
1,909,005
108,443
PacWest
Bancorp
b
857,784
22,634
Palomar
Holdings,
Inc.
a
1,148,675
13,151
Park
National
Corporation
1,243,033
23,991
Pathward
Financial,
Inc.
1,105,745
236,569
Payoneer
Global,
Inc.
a
1,447,802
79,368
PennyMac
Mortgage
Investment
Trust
984,163
13,735
Piper
Sandler
Companies
1,995,833
35,898
PRA
Group,
Inc.
a
689,601
11,965
Preferred
Bank/Los
Angeles,
CA
744,821
47,629
ProAssurance
Corporation
899,712
41,815
PROG
Holdings,
Inc.
a
1,388,676
69,103
Provident
Financial
Services,
Inc.
1,056,585
144,013
Radian
Group,
Inc.
3,616,166
144,538
Ready
Capital
Corporation
1,461,279
104,450
Redwood
Trust,
Inc.
744,728
51,354
Renasant
Corporation
1,344,961
34,984
S&T
Bancorp,
Inc.
947,367
13,532
Safety
Insurance
Group,
Inc.
922,747
77,836
Seacoast
Banking
Corporation
of
Florida
1,709,279
44,807
ServisFirst
Bancshares,
Inc.
2,337,581
115,504
Simmons
First
National
Corporation
1,958,948
80,941
SiriusPoint,
Ltd.
a
823,170
26,534
Southside
Bancshares,
Inc.
761,526
42,914
Stellar
Bancorp,
Inc.
914,926
25,016
Stewart
Information
Services
Corporation
1,095,701
16,360
StoneX
Group,
Inc.
a
1,585,611
11,431
Tompkins
Financial
Corporation
560,005
19,802
Triumph
Financial,
Inc.
a
1,282,972
32,548
Trupanion,
Inc.
a,b
917,854
17,403
TrustCo
Bank
Corporation
NY
474,928
55,867
Trustmark
Corporation
1,213,990
87,972
Two
Harbors
Investment
Corporation
1,164,749
108,726
United
Community
Banks,
Inc.
2,762,728
19,393
United
Fire
Group,
Inc.
383,012
49,638
Veritex
Holdings,
Inc.
891,002
6,239
Virtus
Investment
Partners,
Inc.
1,260,216
30,504
Walker
&
Dunlop,
Inc.
2,264,617
59,215
Washington
Federal,
Inc.
1,517,088
24,378
Westamerica
Bancorporation
1,054,349
104,513
WisdomTree,
Inc.
731,591
3,120
World
Acceptance
Corporation
a
396,427
55,855
WSFS
Financial
Corporation
2,038,707
Total
162,322,292
Health
Care
(9.8%)
74,706
AdaptHealth
Corporation
a
679,825
14,833
Addus
HomeCare
Corporation
a
1,263,623
Shares
Common
Stock
(99.1%)
Value
Health
Care
(9.8%)
-
continued
32,106
Agiliti,
Inc.
a
$
208,368
34,751
AMN
Healthcare
Services,
Inc.
a
2,960,090
34,861
Amphastar
Pharmaceuticals,
Inc.
a
1,603,257
14,657
ANI
Pharmaceuticals,
Inc.
a
850,985
38,480
Apollo
Medical
Holdings,
Inc.
a
1,187,108
49,072
Arcus
Biosciences,
Inc.
a
880,842
35,666
Artivion,
Inc.
a
540,697
42,879
Avanos
Medical,
Inc.
a
867,013
57,384
Avid
Bioservices,
Inc.
a
541,705
31,430
BioLife
Solutions,
Inc.
a
434,048
91,652
Catalyst
Pharmaceuticals,
Inc.
a
1,071,412
97,929
Certara,
Inc.
a
1,423,888
31,775
Collegium
Pharmaceutical,
Inc.
a
710,171
116,379
Community
Health
Systems,
Inc.
a
337,499
28,121
CONMED
Corporation
2,836,003
82,553
Corcept
Therapeutics,
Inc.
a
2,249,157
8,298
CorVel
Corporation
a
1,631,802
30,787
Cross
Country
Healthcare,
Inc.
a
763,210
91,051
Cytek
Biosciences,
Inc.
a
502,602
87,819
Cytokinetics,
Inc.
a
2,587,148
117,823
Dynavax
Technologies
Corporation
a
1,740,246
52,422
Embecta
Corporation
788,951
45,831
Enhabit,
Inc.
a
515,599
51,413
Ensign
Group,
Inc.
4,777,810
81,051
Fortrea
Holdings,
Inc.
a
2,317,248
18,616
Fulgent
Genetics,
Inc.
a
497,792
44,505
Glaukos
Corporation
a
3,349,001
30,737
Harmony
Biosciences
Holdings,
Inc.
a
1,007,252
22,177
HealthStream,
Inc.
478,580
52,405
Innoviva,
Inc.
a
680,741
30,470
Integer
Holdings
Corporation
a
2,389,762
125,607
Ironwood
Pharmaceuticals,
Inc.
a
1,209,595
24,223
iTeos
Therapeutics,
Inc.
a
265,242
18,126
LeMaitre
Vascular,
Inc.
987,504
14,924
Ligand
Pharmaceuticals,
Inc.
a
894,246
52,724
Merit
Medical
Systems,
Inc.
a
3,639,010
4,679
Mesa
Laboratories,
Inc.
491,623
11,286
ModivCare,
Inc.
a
355,622
74,906
Myriad
Genetics,
Inc.
a
1,201,492
116,708
NeoGenomics,
Inc.
a
1,435,508
49,659
NextGen
Healthcare,
Inc.
a
1,178,408
6,287
OmniAb,
Inc.,
12.5
Earnout
Share
a,c
1
6,287
OmniAb,
Inc.,
15.0
Earnout
Share
a,c
1
41,360
Omnicell,
Inc.
a
1,862,854
67,160
OraSure
Technologies,
Inc.
a
398,259
33,603
Orthofix
Medical,
Inc.
a
432,135
70,010
Owens
&
Minor,
Inc.
a
1,131,362
42,462
Pacira
Pharmaceuticals,
Inc.
a
1,302,734
75,696
Pediatrix
Medical
Group,
Inc.
a
962,096
18,605
Phibro
Animal
Health
Corporation
237,586
108,932
Premier,
Inc.
2,342,038
45,318
Prestige
Consumer
Healthcare,
Inc.
a
2,591,736
93,406
Privia
Health
Group,
Inc.
a
2,148,338
55,179
RadNet,
Inc.
a
1,555,496
36,997
REGENXBIO,
Inc.
a
608,971
49,914
Schrodinger,
Inc./United
States
a
1,411,069
95,374
Select
Medical
Holdings
Corporation
2,410,101
14,583
Simulations
Plus,
Inc.
608,111
44,368
STAAR
Surgical
Company
a
1,782,706
49,942
Supernus
Pharmaceuticals,
Inc.
a
1,376,901
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
367
Shares
Common
Stock
(99.1%)
Value
Health
Care
(9.8%)
-
continued
59,533
Tandem
Diabetes
Care,
Inc.
a
$
1,236,500
13,710
U.S.
Physical
Therapy,
Inc.
1,257,618
6,429
UFP
Technologies,
Inc.
a
1,037,962
36,958
Varex
Imaging
Corporation
a
694,441
99,951
Veradigm
Inc.
a
1,313,356
43,583
Vericel
Corporation
a
1,460,902
78,600
Vir
Biotechnology,
Inc.
a
736,482
55,449
Xencor,
Inc.
a
1,117,297
Total
88,348,738
Industrials
(17.1%)
122,104
3D
Systems
Corporation
a
599,531
61,964
AAON,
Inc.
3,523,893
30,407
AAR
Corporation
a
1,810,129
60,510
ABM
Industries,
Inc.
2,421,005
23,981
AeroVironment,
Inc.
a
2,674,601
9,449
Alamo
Group,
Inc.
1,633,354
28,522
Albany
International
Corporation
2,460,878
13,838
Allegiant
Travel
Company
1,063,589
14,982
American
Woodmark
Corporation
a
1,132,789
20,197
Apogee
Enterprises,
Inc.
950,875
35,361
Applied
Industrial
Technologies,
Inc.
5,467,164
21,978
ArcBest
Corporation
2,234,064
44,607
Arcosa,
Inc.
3,207,243
20,800
Astec
Industries,
Inc.
979,888
22,882
AZZ,
Inc.
1,042,962
46,313
Barnes
Group,
Inc.
1,573,253
36,217
Boise
Cascade
Company
3,731,800
42,000
Brady
Corporation
2,306,640
18,653
CIRCOR
International,
Inc.
a
1,039,905
32,722
Comfort
Systems
USA,
Inc.
5,576,156
103,926
CoreCivic,
Inc.
a
1,169,167
27,824
CSG
Systems
International,
Inc.
1,422,363
39,901
Deluxe
Corporation
753,730
12,547
DXP
Enterprises,
Inc.
a
438,392
26,826
Dycom
Industries,
Inc.
a
2,387,514
15,373
Encore
Wire
Corporation
2,804,958
51,324
Enerpac
Tool
Group
Corporation
1,356,493
19,123
EnPro
Industries,
Inc.
2,317,516
72,960
Enviri
Corporation
a
526,771
23,586
ESCO
Technologies,
Inc.
2,463,322
55,796
Federal
Signal
Corporation
3,332,695
10,545
Forrester
Research,
Inc.
a
304,750
23,507
Forward
Air
Corporation
1,615,871
36,395
Franklin
Electric
Company,
Inc.
3,247,526
115,359
GEO
Group,
Inc.
a
943,637
27,832
Gibraltar
Industries,
Inc.
a
1,878,938
37,300
GMS,
Inc.
a
2,386,081
40,178
Granite
Construction,
Inc.
1,527,568
28,252
Greenbrier
Companies,
Inc.
1,130,080
37,464
Griffon
Corporation
1,486,197
47,233
Hawaiian
Holdings,
Inc.
a
298,985
115,037
Hayward
Holdings,
Inc.
a
1,622,022
67,873
Healthcare
Services
Group,
Inc.
707,915
41,930
Heartland
Express,
Inc.
615,952
18,303
Heidrick
&
Struggles
International,
Inc.
457,941
63,958
Hillenbrand,
Inc.
2,706,063
42,583
HNI
Corporation
1,474,649
28,738
Hub
Group,
Inc.
a
2,257,083
17,777
Insteel
Industries,
Inc.
577,041
53,156
Interface,
Inc.
521,460
304,856
JetBlue
Airways
Corporation
a
1,402,338
Shares
Common
Stock
(99.1%)
Value
Industrials
(17.1%)
-
continued
29,125
John
Bean
Technologies
Corporation
$
3,062,202
25,816
Kaman
Corporation
507,284
100,129
KAR
Auction
Services,
Inc.
a
1,493,925
29,331
Kelly
Services,
Inc.
533,531
72,919
Kennametal,
Inc.
1,814,225
49,019
Korn
Ferry
2,325,461
10,071
Lindsay
Corporation
1,185,155
20,496
Liquidity
Services,
Inc.
a
361,140
52,805
Marten
Transport,
Ltd.
1,040,787
116,804
Masterbrand,
Inc.
a
1,419,169
32,282
Matson,
Inc.
2,864,059
27,872
Matthews
International
Corporation
1,084,500
46,844
Mercury
Systems,
Inc.
a
1,737,444
69,251
MillerKnoll,
Inc.
1,693,187
26,275
Moog,
Inc.
2,968,024
51,941
Mueller
Industries,
Inc.
3,903,886
15,286
MYR
Group,
Inc.
a
2,059,941
4,791
National
Presto
Industries,
Inc.
347,156
97,626
NOW,
Inc.
a
1,158,821
11,629
NV5
Global,
Inc.
a
1,119,059
53,379
PGT
Innovations,
Inc.
a
1,481,267
140,094
Pitney
Bowes,
Inc.
423,084
8,355
Powell
Industries,
Inc.
692,629
23,872
Proto
Labs,
Inc.
a
630,221
30,145
Quanex
Building
Products
Corporation
849,185
135,073
Resideo
Technologies,
Inc.
a
2,134,153
29,264
Resources
Connection,
Inc.
436,326
107,015
RXO,
Inc.
a
2,111,406
38,479
SkyWest,
Inc.
a
1,613,809
41,706
SPX
Technologies,
Inc.
a
3,394,868
10,839
Standex
International
Corporation
1,579,134
36,893
Sun
Country
Airlines
Holdings,
Inc.
a
547,492
78,530
SunPower
Corporation
a,b
484,530
17,000
Tennant
Company
1,260,550
47,054
Titan
International,
Inc.
a
631,935
74,880
Trinity
Industries,
Inc.
1,823,328
70,177
Triumph
Group,
Inc.
a
537,556
28,363
TrueBlue,
Inc.
a
416,085
17,351
TTEC
Holdings,
Inc.
454,943
13,817
UniFirst
Corporation/MA
2,252,309
12,396
Veritiv
Corporation
2,093,684
155,215
Verra
Mobility
Corporation
a
2,902,520
19,100
Viad
Corporation
a
500,420
42,995
Wabash
National
Corporation
908,054
Total
154,403,181
Information
Technology
(12.7%)
63,729
A10
Networks,
Inc.
957,847
97,657
Adeia,
Inc.
1,042,977
64,758
Adtran
Holdings,
Inc.
532,958
34,443
Advanced
Energy
Industries,
Inc.
3,551,762
18,555
Agilysys,
Inc.
a
1,227,599
45,654
Alarm.com
Holdings,
Inc.
a
2,791,286
20,491
Alpha
and
Omega
Semiconductor,
Ltd.
a
611,451
86,041
Arlo
Technologies,
Inc.
a
886,222
31,020
Avid
Technology,
Inc.
a
833,507
30,021
Axcelis
Technologies,
Inc.
a
4,894,924
26,820
Badger
Meter,
Inc.
3,858,593
32,632
Benchmark
Electronics,
Inc.
791,652
36,897
Cerence,
Inc.
a
751,592
21,619
CEVA,
Inc.
a
419,192
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
368
Shares
Common
Stock
(99.1%)
Value
Information
Technology
(12.7%)
-
continued
11,861
Clearfield,
Inc.
a
$
339,936
43,543
Cohu,
Inc.
a
1,499,621
16,717
Consensus
Cloud
Solutions,
Inc.
a
420,934
39,490
Corsair
Gaming,
Inc.
a
573,790
28,683
CTS
Corporation
1,197,228
32,904
Digi
International,
Inc.
a
888,408
82,757
Digital
Turbine,
Inc.
a
500,680
41,851
Diodes,
Inc.
a
3,299,533
114,855
DoubleVerify
Holdings,
Inc.
a
3,210,197
22,332
Ebix,
Inc.
220,640
24,643
ePlus,
Inc.
a
1,565,323
116,888
Extreme
Networks,
Inc.
a
2,829,859
33,204
Fabrinet
a
5,532,451
71,039
FormFactor,
Inc.
a
2,482,103
102,380
Harmonic,
Inc.
a
985,919
26,760
Ichor
Holdings,
Ltd.
a
828,490
27,661
Insight
Enterprises,
Inc.
a
4,024,676
24,157
InterDigital,
Inc.
1,938,358
41,587
Itron,
Inc.
a
2,519,341
83,378
Knowles
Corporation
a
1,234,828
51,661
Kulicke
and
Soffa
Industries,
Inc.
2,512,274
60,550
LiveRamp
Holding,
Inc.
a
1,746,262
67,443
MaxLinear,
Inc.
a
1,500,607
32,943
Methode
Electronics,
Inc.
752,748
63,447
N-able,
Inc.
a
818,466
66,001
NetScout
Systems,
Inc.
a
1,849,348
32,915
OneSpan,
Inc.
a
353,836
44,885
Onto
Innovation,
Inc.
a
5,723,735
14,079
OSI
Systems,
Inc.
a
1,661,885
10,329
PC
Connection,
Inc.
551,362
27,903
PDF
Solutions,
Inc.
a
904,057
31,849
Perficient,
Inc.
a
1,842,783
57,191
Photronics,
Inc.
a
1,155,830
25,140
Plexus
Corporation
a
2,337,517
39,671
Progress
Software
Corporation
2,085,901
99,833
Rambus,
Inc.
a
5,569,683
15,327
Rogers
Corporation
a
2,015,041
52,351
Sanmina
Corporation
a
2,841,612
22,778
ScanSource,
Inc.
a
690,401
58,509
Semtech
Corporation
a
1,506,607
15,645
SiTime
Corporation
a
1,787,441
45,802
SMART
Global
Holdings,
Inc.
a
1,115,279
33,528
SPS
Commerce,
Inc.
a
5,720,212
95,021
TTM
Technologies,
Inc.
a
1,223,871
40,890
Ultra
Clean
Holdings,
Inc.
a
1,213,206
51,545
Veeco
Instruments,
Inc.
a
1,448,930
68,091
ViaSat,
Inc.
a
1,256,960
203,496
Viavi
Solutions,
Inc.
a
1,859,954
103,488
Xerox
Holdings
Corporation
1,623,727
39,608
Xperi,
Inc.
a
390,535
Total
115,303,947
Materials
(5.2%)
24,894
AdvanSix,
Inc.
773,706
117,629
Allegheny
Technologies,
Inc.
a
4,840,433
24,925
American
Vanguard
Corporation
272,430
29,493
Balchem
Corporation
3,658,312
44,413
Carpenter
Technology
Corporation
2,984,998
47,328
Century
Aluminum
Company
a
340,288
15,289
Clearwater
Paper
Corporation
a
554,226
30,860
Compass
Minerals
International,
Inc.
862,537
49,280
H.B.
Fuller
Company
3,381,101
17,566
Hawkins,
Inc.
1,033,759
11,647
Haynes
International,
Inc.
541,818
Shares
Common
Stock
(99.1%)
Value
Materials
(5.2%)
-
continued
30,818
Ingevity
Corporation
a
$
1,467,245
22,747
Innospec,
Inc.
2,324,743
14,649
Kaiser
Aluminum
Corporation
1,102,484
19,094
Koppers
Holdings,
Inc.
755,168
164,403
Livent
Corporation
a,b
3,026,659
18,879
Materion
Corporation
1,923,959
50,047
Mativ,
Inc.
713,670
40,166
Mercer
International,
Inc.
344,624
29,771
Minerals
Technologies,
Inc.
1,630,260
33,674
Myers
Industries,
Inc.
603,775
141,848
O-I
Glass,
Inc.
a
2,373,117
8,962
Olympic
Steel,
Inc.
503,754
12,677
Quaker
Chemical
Corporation
2,028,320
38,650
Sensient
Technologies
Corporation
2,260,252
19,424
Stepan
Company
1,456,217
76,620
SunCoke
Energy,
Inc.
777,693
32,553
Sylvamo
Corporation
1,430,379
35,380
TimkenSteel
Corporation
a
768,454
47,586
Warrior
Met
Coal,
Inc.
2,430,693
Total
47,165,074
Real
Estate
(7.7%)
87,078
Acadia
Realty
Trust
1,249,569
66,437
Alexander
&
Baldwin,
Inc.
1,111,491
44,441
American
Assets
Trust,
Inc.
864,377
101,071
Anywhere
Real
Estate,
Inc.
a
649,887
194,653
Apple
Hospitality
REIT,
Inc.
2,985,977
62,158
Armada
Hoffler
Properties,
Inc.
636,498
157,435
Brandywine
Realty
Trust
714,755
91,000
CareTrust
REIT,
Inc.
1,865,500
13,675
Centerspace
824,055
44,694
Chatham
Lodging
Trust
427,722
22,595
Community
Healthcare
Trust,
Inc.
671,071
153,770
Cushman
and
Wakefield
plc
a
1,171,727
191,766
DiamondRock
Hospitality
Company
1,539,881
152,531
Douglas
Emmett,
Inc.
1,946,296
85,457
Easterly
Government
Properties,
Inc.
976,774
80,340
Elme
Communities
1,095,838
142,717
Essential
Properties
Realty
Trust,
Inc.
3,086,969
70,251
eXp
World
Holdings,
Inc.
b
1,140,876
82,850
Four
Corners
Property
Trust,
Inc.
1,838,441
42,040
Getty
Realty
Corporation
1,165,769
177,620
Global
Net
Lease,
Inc.
1,706,928
96,672
Highwoods
Properties,
Inc.
1,992,410
116,037
Hudson
Pacific
Properties,
Inc.
771,646
25,651
Innovative
Industrial
Properties,
Inc.
1,940,755
86,109
JBG
SMITH
Properties
1,245,136
108,387
Kennedy-Wilson
Holdings,
Inc.
1,597,624
37,881
LTC
Properties,
Inc.
1,217,117
267,675
LXP
Industrial
Trust
2,382,308
196,916
Macerich
Company
2,148,354
21,814
Marcus
and
Millichap,
Inc.
640,023
20,903
NexPoint
Residential
Trust,
Inc.
672,659
132,863
Outfront
Media,
Inc.
1,341,916
110,235
Pebblebrook
Hotel
Trust
1,498,094
107,397
Phillips
Edison
and
Company,
Inc.
3,602,095
115,268
Retail
Opportunity
Investments
Corporation
1,427,018
73,025
RPT
Realty
771,144
40,957
Safehold,
Inc.
729,035
11,827
Saul
Centers,
Inc.
417,138
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
369
/
Shares
Common
Stock
(99.1%)
Value
Real
Estate
(7.7%)
-
continued
151,367
Service
Properties
Trust
$
1,164,012
164,641
SITE
Centers
Corporation
2,030,024
58,902
SL
Green
Realty
Corporation
2,197,045
32,573
St.
Joe
Company
1,769,691
98,411
Summit
Hotel
Properties,
Inc.
570,784
189,532
Sunstone
Hotel
Investors,
Inc.
1,772,124
96,218
Tanger
Factory
Outlet
Centers,
Inc.
2,174,527
218,352
Uniti
Group,
Inc.
1,030,621
11,633
Universal
Health
Realty
Income
Trust
470,322
107,617
Urban
Edge
Properties
1,642,235
73,272
Veris
Residential,
Inc.
1,208,988
43,037
Whitestone
REIT
414,446
98,122
Xenia
Hotels
&
Resorts,
Inc.
1,155,877
Total
69,665,569
Utilities
(1.8%)
33,826
American
States
Water
Company
2,661,430
70,005
Avista
Corporation
2,266,062
52,786
California
Water
Service
Group
2,497,305
16,281
Chesapeake
Utilities
Corporation
1,591,468
16,236
Middlesex
Water
Company
1,075,635
32,992
Northwest
Natural
Holding
Company
1,258,975
38,157
Otter
Tail
Corporation
2,896,879
26,447
SJW
Group
1,589,729
14,721
Unitil
Corporation
628,734
Total
16,466,217
Total
Common
Stock
(cost
$750,802,525)
896,971,717
Shares
Collateral
Held
for
Securities
Loaned
(
1.2%
)
Value
10,641,025
Thrivent
Cash
Management
Trust
10,641,025
Total
Collateral
Held
for
Securities
Loaned
(cost
$10,641,025)
10,641,025
Shares
Registered
Investment
Companies
(
0.8%
)
Value
U.S.
Unaffiliated  (0.8%)
73,770
iShares
Core
S&P
Small-Cap
ETF
6,958,724
Total
6,958,724
Total
Registered
Investment
Companies
(cost
$6,196,521)
6,958,724
Shares
or
Principal
Amount
Short-Term
Investments
(
<0.1%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
100,000
5.300%,
12/6/2023
d,e
99,075
Total
Short-Term
Investments
(cost
$99,014)
99,075
Total
Investments
(cost
$767,739,085)
101.1%
$914,670,541
Other
Assets
and
Liabilities,
Net
(1.1%)
(9,888,359)
Total
Net
Assets
100.0%
$904,782,182
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
The
interest
rate
shown
reflects
the
yield.
e
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Small
Cap
Index
Portfolio
as
of
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
10,517,163
Total
lending
$10,517,163
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$10,641,025
Net
amounts
due
to
counterparty
$123,862
Definitions:
ETF
-
Exchange
Traded
Fund
plc
-
Public
Limited
Company
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
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
370
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
25,879,558
25,879,558
Consumer
Discretionary
123,635,614
123,635,614
Consumer
Staples
45,367,156
45,367,156
Energy
48,414,371
48,414,371
Financials
162,322,292
162,322,292
Health
Care
88,348,738
88,348,736
2
Industrials
154,403,181
154,403,181
Information
Technology
115,303,947
115,303,947
Materials
47,165,074
47,165,074
Real
Estate
69,665,569
69,665,569
Utilities
16,466,217
16,466,217
Registered
Investment
Companies
U.S.
Unaffiliated
6,958,724
6,958,724
Short-Term
Investments
99,075
99,075
Subtotal
Investments
in
Securities
$
904,029,516
$903,930,439
$99,075
$2
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
10,641,025
Subtotal
Other
Investments
$10,641,025
Total
Investments
at
Value
$914,670,541
*
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
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
in
valuing
Small
Cap
Index
Portfolio's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
39,089
39,089
Total
Liability
Derivatives
$39,089
$39,089
$–
$–
The
following
table
presents
Small
Cap
Index
Portfolio's
futures
contracts
held
as
of
September
29,
2023.
Investments
and/or
cash
totaling
$99,075
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
December
2023
$
938,389
(
$
39,089)
Total
Futures
Long
Contracts
$
938,389
(
$
39,089)
Total
Futures
Contracts
$
938,389
($39,089)
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
371
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
d
ate,
in
Small
Cap
Index
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$2,932
$34,480
$37,412
$–
Total
Affiliated
Short-Term
Investments
2,932
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
4,563
83,707
77,629
10,641
10,641
1.2%
Total
Collateral
Held
for
Securities
Loaned
4,563
10,641
1.2
Total
Value
$7,495
$10,641
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$14
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$14
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
88
Total
Affiliated
Income
from
Securities
Loaned,
Net
$88
Total
Value
$–
$–
$
Small
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
372
Shares
Common
Stock
(
97
.6
%
)
Value
Communications
Services
(2.4%)
955,024
QuinStreet,
Inc.
a
$
8,566,565
201,391
Ziff
Davis,
Inc.
a
12,826,593
Total
21,393,158
Consumer
Discretionary
(10.0%)
67,216
Boot
Barn
Holdings,
Inc.
a
5,457,267
255,568
Cedar
Fair,
LP
9,456,016
478,463
Clarus
Corporation
3,617,180
148,863
Columbia
Sportswear
Company
11,030,748
639,330
Cooper-Standard
Holdings,
Inc.
a
8,579,809
577,340
Everi
Holdings,
Inc.
a
7,632,435
56,776
Grand
Canyon
Education,
Inc.
a
6,635,979
36,973
Meritage
Homes
Corporation
4,525,126
114,515
Papa
John's
International,
Inc.
7,812,213
66,103
Skyline
Champion
Corporation
a
4,212,083
352,747
Sonos,
Inc.
a
4,553,964
524,726
Stoneridge,
Inc.
a
10,531,251
1,423,037
ThredUp,
Inc.
a
5,706,378
Total
89,750,449
Consumer
Staples
(4.3%)
116,291
John
B.
Sanfilippo
&
Son,
Inc.
11,489,551
381,095
Pilgrim's
Pride
Corporation
a
8,700,399
820,558
Primo
Water
Corporation
11,323,700
312,325
Turning
Point
Brands,
Inc.
7,211,584
Total
38,725,234
Energy
(2.2%)
648,913
NOV,
Inc.
13,562,282
315,916
TechnipFMC
plc
6,425,731
Total
19,988,013
Financials
(14.3%)
598,251
Ally
Financial,
Inc.
15,961,337
267,480
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
7,243,358
625,668
Bridgewater
Bancshares,
Inc.
a
5,931,333
169,906
Byline
Bancorp,
Inc.
3,348,847
220,100
Federated
Hermes,
Inc.
7,454,787
152,628
Glacier
Bancorp,
Inc.
4,349,898
330,019
Heartland
Financial
USA,
Inc.
9,712,459
142,141
Houlihan
Lokey,
Inc.
15,226,144
21,041
Kinsale
Capital
Group,
Inc.
8,713,709
137,457
RLI
Corporation
18,679,032
193,332
Triumph
Financial,
Inc.
a
12,525,980
61,020
Voya
Financial,
Inc.
4,054,779
315,870
Western
Alliance
Bancorp
14,520,544
Total
127,722,207
Health
Care
(7.4%)
7,397
Agiliti,
Inc.
a
48,007
295,349
Enovis
Corporation
a
15,573,753
327,347
Halozyme
Therapeutics,
Inc.
a
12,504,655
87,834
Lantheus
Holdings,
Inc.
a
6,102,706
762,507
Maravai
LifeSciences
Holdings,
Inc.
a
7,625,070
233,643
Progyny,
Inc.
a
7,948,535
91,705
QuidelOrtho
Corporation
a
6,698,133
261,923
R1
RCM,
Inc.
a
3,947,180
782,516
Viemed
Healthcare,
Inc.
a
5,266,333
Total
65,714,372
Industrials
(26.4%)
438,214
Air
Lease
Corporation
17,270,014
193,198
ASGN,
Inc.
a
15,780,413
Shares
Common
Stock
(97.6%)
Value
Industrials
(26.4%)
-
continued
676,488
Badger
Infrastructure
Solutions,
Ltd.
$
17,277,650
317,638
Barnes
Group,
Inc.
10,790,163
176,547
Cimpress
plc
a
12,360,056
39,705
Curtiss-Wright
Corporation
7,767,489
327,560
ExlService
Holdings,
Inc.
a
9,184,782
323,292
Fluor
Corporation
a
11,864,816
242,296
Greenbrier
Companies,
Inc.
9,691,840
257,793
Helios
Technologies,
Inc.
14,302,356
933,287
Janus
International
Group,
Inc.
a
9,986,171
186,142
ManpowerGroup,
Inc.
13,647,931
755,875
Masterbrand,
Inc.
a
9,183,881
177,639
Maximus,
Inc.
13,266,081
247,338
Miller
Industries,
Inc.
9,698,123
70,551
Moog,
Inc.
7,969,441
188,160
RB
Global,
Inc.
11,760,000
482,283
Schneider
National,
Inc.
13,354,416
29,625
Simpson
Manufacturing
Company,
Inc.
4,438,121
152,245
Tennant
Company
11,288,967
58,810
Timken
Company
4,321,947
Total
235,204,658
Information
Technology
(15.4%)
93,071
Calix,
Inc.
a
4,266,375
155,325
Ciena
Corporation
a
7,340,659
291,606
Cohu,
Inc.
a
10,042,911
65,830
FormFactor,
Inc.
a
2,300,100
640,658
Gilat
Satellite
Networks,
Ltd.
a
4,119,431
136,314
Guidewire
Software,
Inc.
a
12,268,260
34,433
Insight
Enterprises,
Inc.
a
5,010,001
690,853
Knowles
Corporation
a
10,231,533
39,900
Littelfuse,
Inc.
9,868,068
152,622
Plexus
Corporation
a
14,190,794
63,276
Silicon
Laboratories,
Inc.
a
7,333,056
164,124
Sprout
Social,
Inc.
a
8,186,505
1,743,105
TTM
Technologies,
Inc.
a
22,451,192
29,101
Universal
Display
Corporation
4,568,566
225,442
Varonis
Systems,
Inc.
a
6,884,999
78,413
Workiva,
Inc.
a
7,946,373
Total
137,008,823
Materials
(7.6%)
237,823
Alcoa
Corporation
6,911,136
74,267
Berry
Plastics
Group,
Inc.
4,597,870
147,012
Carpenter
Technology
Corporation
9,880,677
246,514
Ingevity
Corporation
a
11,736,532
851,052
Ivanhoe
Mines,
Ltd.
a
7,293,389
845,880
Tronox
Holdings
plc
11,368,627
78,275
United
States
Lime
&
Minerals,
Inc.
15,733,275
Total
67,521,506
Real
Estate
(5.3%)
190,466
Agree
Realty
Corporation
10,521,342
1,452,275
Cushman
and
Wakefield
plc
a
11,066,336
722,650
Independence
Realty
Trust,
Inc.
10,167,685
479,933
National
Storage
Affiliates
Trust
15,233,073
Total
46,988,436
Utilities
(2.3%)
68,800
Black
Hills
Corporation
3,480,592
80,712
NorthWestern
Corporation
3,879,019
166,977
Portland
General
Electric
Company
6,759,229
Small
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
373
Shares
Common
Stock
(97.6%)
Value
Utilities
(2.3%)
-
continued
110,961
Spire,
Inc.
$
6,278,173
Total
20,397,013
Total
Common
Stock
(cost
$840,516,297)
870,413,869
Shares
Registered
Investment
Companies
(
1
.9
%
)
Value
U.S.
Unaffiliated  (1.9%)
71,315
iShares
Biotechnology
ETF
b
8,721,111
112,753
SPDR
S&P
Biotech
ETF
b
8,233,224
Total
16,954,335
Total
Registered
Investment
Companies
(cost
$18,470,948)
16,954,335
Shares
Collateral
Held
for
Securities
Loaned
(
1
.5
%
)
Value
13,702,375
Thrivent
Cash
Management
Trust
13,702,375
Total
Collateral
Held
for
Securities
Loaned
(cost
$13,702,375)
13,702,375
Shares
Short-Term
Investments
(
0
.5
%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
422,851
5.650%
4,228,507
Total
Short-Term
Investments
(cost
$4,227,250)
4,228,507
Total
Investments
(cost
$876,916,870)
101.5%
$
905,299,086
Other
Assets
and
Liabilities,
Net
(1.5%)
(
13,733,566
)
Total
Net
Assets
100.0%
$
891,565,520
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
September
29,
2023:
Securities
Lending
Transactions
Common
Stock
$
13,322,990
Total
lending
$13,322,990
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$13,702,375
Net
amounts
due
to
counterparty
$379,385
Definitions:
ETF
-
Exchange
Traded
Fund
plc
-
Public
Limited
Company
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.
Small
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
374
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
29,
2023,
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
21,393,158
21,393,158
Consumer
Discretionary
89,750,449
89,750,449
Consumer
Staples
38,725,234
38,725,234
Energy
19,988,013
19,988,013
Financials
127,722,207
127,722,207
Health
Care
65,714,372
65,714,372
Industrials
235,204,658
217,927,008
17,277,650
Information
Technology
137,008,823
137,008,823
Materials
67,521,506
60,228,117
7,293,389
Real
Estate
46,988,436
46,988,436
Utilities
20,397,013
20,397,013
Registered
Investment
Companies
U.S.
Unaffiliated
16,954,335
16,954,335
Subtotal
Investments
in
Securities
$
887,368,204
$
862,797,165
$
24,571,039
$
Other
Investments  *
Total
Affiliated
Short-Term
Investments
4,228,507
Collateral
Held
for
Securities
Loaned
13,702,375
Subtotal
Other
Investments
$
17,930,882
Total
Investments
at
Value
$
905,299,086
*
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
the
table
above
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
12/31/2022
Gross
Purchases
Gross
Sales
Value
9/29/2023
Shares
Held
at
9/29/2023
%
of
Net
Assets
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$
6,349
$
160,463
$
162,583
$
4,229
423
0.5%
Total
Affiliated
Short-Term
Investments
6,349
4,229
0.5
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
85,524
71,822
13,702
13,702
1.5
Total
Collateral
Held
for
Securities
Loaned
13,702
1.5
Total
Value
$
6,349
$
17,931
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2023
-
9/29/2023
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
5.650%
$–
$–
$
$
727
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
727
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
47
Total
Affiliated
Income
from
Securities
Loaned,
Net
$
47
Total
Value
$–
$–
$
Notes
to
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
375
SIGNIFICANT
ACCOUNTING
POLICIES
Valuation
of
Investments
The
Portfolios
record
their
investments
at
fair
value
using
market quotations
when
they
are
readily
available
pursuant
to Rule
2a-5. 
The
Portfolios'
investments
are
recorded
at
fair value
determined
in
good
faith
when
market
quotations
are
not
readily
available. 
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.
Thrivent
Money
Market seeks
to
maintain
a
stable
net
asset
value
of
$1.00
per
share,
pursuant
to
procedures
established
by
the
Board,
and
generally
utilizes
the
amortized
cost
method.
Valuing
securities
held
by
Thrivent
Money
Market
on
the
basis
of
amortized
cost
(which
approximates
market
value)
involves
a
constant
amortization
of
premium
or
accretion
of
discount
to
maturity.
The
Thrivent
Money
Market
will
not
value
a
security
at
amortized
cost,
but
will
instead
make
a
fair
value
determination
of
each
security,
if
it
determines
that
amortized
cost
is
not
approximately
the
same
as
the
fair
value
of
the
security.
The
Board
has
chosen the
Portfolios'
Investment
Adviser
as
the
valuation
designee,
responsible
for
daily
valuation
of
the
Portfolios'
securities. 
The
Adviser
has
formed
a
Valuation
Committee
(the
“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
Notes
to
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
376
rates
from
changes
in
prices
on
securities
held.
Such
changes
are
included
in
net
realized
and
unrealized
gain
or
loss
from
investments
in
the
Statement
of
Operations.
For
federal
income
tax
purposes,
the
Portfolios
treat
the
effect
of
changes
in
foreign
exchange
rates
arising
from
actual
foreign
currency
transactions
and
the
changes
in
foreign
exchange
rates
between
the
trade
date
and
settlement
date
as
ordinary
income.
Foreign
Denominated
Investments
Foreign
denominated
assets
and
currency
contracts
may
involve
more
risks
than
domestic
transactions
including
currency
risk,
political
and
economic
risk,
regulatory
risk,
and
market
risk.
Certain
Portfolios
may
also
invest
in
securities
of
companies
located
in
emerging
markets.
Future
economic
or
political
developments
could
adversely
affect
the
liquidity
or
value,
or
both,
of
such
securities.
Derivative
Financial
Instruments
Each
of
the
Portfolios,
with
the
exception
of
the Money
Market,
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 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,
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
Notes
to
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
377
expiration
or
closing
of
the
option
transaction.
When
an
option
is
exercised,
the
proceeds
upon
sale
for
a
written
call
option
or
the
cost
of
a
security
for
purchased
put
and
call
options
is
adjusted
by
the
amount
of
premium
received
or
paid.
Buying
put
options
tends
to
decrease
a
Portfolio’s
exposure
to
the
underlying
security
while
buying
call
options
tends
to
increase
a
Portfolio’s
exposure
to
the
underlying
security.
The
risk
associated
with
purchasing
put
and
call
options
is
limited
to
the
premium
paid.
There
is
no
significant
counterparty
risk
on
exchange-traded
options
as
the
exchange
guarantees
the
contract
against
default.
Writing
put
options
tends
to
increase
a
Portfolio’s
exposure
to
the
underlying
security
while
writing
call
options
tends
to
decrease
a
Portfolio’s
exposure
to
the
underlying
security.
The
writer
of
an
option
has
no
control
over
whether
the
underlying
security
may
be
bought
or
sold,
and
therefore
bears
the
market
risk
of
an
unfavorable
change
in
the
price
of
the
underlying
security.
The
counterparty
risk
for
purchased
options
arises
when
the
Portfolio
has
purchased
an
option,
exercises
that
option,
and
the
counterparty
doesn’t
buy
from
the
Portfolio
or
sell
to
the
Portfolio
the
underlying
asset
as
required.
In
the
case
where
the
Portfolio
has
written
an
option,
the
Portfolio
doesn’t
have
counterparty
risk.
Counterparty
risk
on
purchased
over-the-
counter
options
is
partially
mitigated
by
the
Portfolio’s
collateral
posting
requirements.
As
the
option
increases
in
value
to
the
Portfolio,
the
Portfolio
receives
collateral
from
the
counterparty.
Risks
of
loss
may
exceed
amounts
recognized
on
the
Statement
of
Assets
and
Liabilities.
During
the nine
months
ended
September
29,
2023,
Aggressive
Allocation,
Balanced
Income
Plus,
Diversified
Income
Plus,
Government
Bond,
Moderate
Allocation,
Moderately
Aggressive
Allocation, Moderately
Conservative
Allocation,
and
Opportunity
Income
Plus used
options
on
mortgage
backed
securities
to
generate
income
and/or
manage duration
of
the
Portfolio. 
Futures
Contracts
All
Portfolios, with
the
exception
of
the
Money
Market, 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 nine
months
ended
September
29,
2023,
Aggressive
Allocation,
Balanced
Income
Plus,
Diversified
Income
Plus, Government
Bond, Income, Limited
Maturity
Bond,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
Moderately
Conservative
Allocation, and Opportunity
Income
Plus used
treasury
futures
to
manage
the
duration
and
yield
curve
exposure
of
the
respective
Portfolio
versus its
benchmark.
During
the nine
months
ended
September
29,
2023,
Aggressive
Allocation,
Balanced
Income
Plus,
Diversified
Income
Plus, ESG
Index,
Emerging
Markets
Equity,
Global
Stock, International
Allocation,
International
Index,
Large
Cap Index,
Low
Volatility
Equity,
Mid
Cap
Index,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
Moderately
Conservative
Allocation,
Real
Estate
Securities,
and
Small
Cap
Index used
equity
futures
to
manage
exposure
to
the
equities
market.
During
the nine
months
ended December
31,
2023,
Aggressive
Allocation,
Balanced
Income
Plus,
Diversified
Income
Plus,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
and
Moderately
Conservative
Allocation
used
foreign
exchange
futures
to
hedge
the
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,
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 nine
months
ended
September
29,
2023,
Healthcare used
foreign
currency
forward
transactions
in
order
to
hedge
unwanted
currency
exposure.
Swap
Agreements
All
Portfolios,
with
the
exception
of
the
Money
Market,
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
Notes
to
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
378
contractually
entitled
to
receive.
Risks
of
loss
may
exceed
amounts
recognized
on
the
Statement
of
Assets
and
Liabilities.
If
there
is
a
default
by
the
counterparty,
the
Portfolio
may
have
contractual
remedies
pursuant
to
the
agreements
related
to
the
transaction.
The
contracts
are
valued
daily
and
unrealized
appreciation
or
depreciation
is
recorded.
Swap
agreements
are
valued
at
the
clearinghouse
end
of
day
prices
as
furnished
by
an
independent
pricing
service.
The
pricing
service
takes
into
account
such
factors
as
swap
curves,
default
probabilities,
recent
trades,
recovery
rates
and
other
factors
it
deems
relevant
in
determining
valuations.
Daily
fluctuations
in
the
value
of
the
centrally
cleared
credit
default
contracts
are
recorded
in
variation
margin
in
the
Statement
of
Assets
and
Liabilities
and
recorded
as
unrealized
gain
or
loss. 
The
Portfolio
accrues
for
the
periodic
payment
and
amortizes
upfront
payments,
if
any,
on
swap
agreements
on
a
daily
basis
with
the
net
amount
recorded
as
realized
gains
or
losses
in
the
Statement
of
Operations.
Receipts
and
payments
received
or
made
as
a
result
of
a
credit
event
or
termination
of
the
contract
are
also
recognized
as
realized
gains
or
losses
in
the
Statement
of
Operations.
Collateral,
in
the
form
of
cash
or
securities,
may
be
required
to
be
held
with
the
Portfolio’s
custodian,
or
a
third
party,
in
connection
with
these
agreements.
Certain swap
agreements
are
over-the-counter. In
these
types
of transactions,
the
Portfolio
is
exposed
to
counterparty
risk,
which
is
the
discounted
net
amount
of
payments
owed
to
the
Portfolio.
This
risk
is
partially
mitigated
by
the
Portfolio’s
collateral
posting
requirements.
As
the
swap
increases
in
value
to
the
Portfolio,
the
Portfolio
receives
collateral
from
the
counterparty. 
Certain
interest
rate
and
credit
default
index
swaps
must
be
cleared
through
a
clearinghouse
or
central
counterparty.
Credit
Default
Swaps
A
credit
default
swap
("CDS")
is
a
swap
agreement
between
two
parties
to
exchange
the
credit
risk
of
a
particular
issuer,
basket
of
securities
or
reference
entity.
In
a
CDS
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
CDS
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
CDS
is
said
to
buy
protection
whereas
a
seller
of
a
CDS
is
said
to
sell
protection.
The
Portfolios
may
be
either
the
protection seller
or
the
protection
buyer.
Certain
Portfolios
enter
into
credit
default
derivative
contracts
directly
through
CDSs or
through
credit
default
swap
indices
("CDX
Indices").
CDX
indices
are
static
pools
of
equally
weighted
CDSs
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 nine
months
ended
September
29,
2023, Balanced
Income
Plus,
Diversified
Income
Plus,
High
Yield,
Income,
Moderate
Allocation,
Moderately
Aggressive
Allocation, Moderately
Conservative
Allocation,
Multidimensional
Income,
and
Opportunity
Income
Plus
used
CDX
indices
(comprised
of
CDSs)
to
help
manage
credit
risk
exposure
within
the
Portfolio.
For
financial
reporting
purposes,
the
Portfolios
do
not
offset
derivative
assets
and
derivative
liabilities
that
are
subject
to
netting
arrangements
in
the
Statement
of
Assets
and
Liabilities.
Bank Loans
(Leveraged Loans) 
Certain
Portfolios
may
invest
in
bank
loans,
which
are
senior
secured
loans
that
are
made
by
banks
or
other
lending
institutions
to
companies
that
are
typically
rated
below
investment
grade. 
A
Portfolio
may
invest
in
multiple
series
or
tranches
of
a
bank
loan,
with
varying
terms
and
different
associated
risks. 
Transactions
in
bank
loan
securities
may
settle
on
a
delayed
basis,
which
may
result
in
the
proceeds
of
the
sale
to
not
be
readily
available
for
a
Portfolio
to
make
additional
investments. 
Interest
rates
of
bank
loan
securities
typically
reset
periodically,
as
the
rates
are
tied
to
a
reference
index
rate, plus
a
premium. 
Income
is
recorded
daily
on
bank
loan
securities. 
On
an
ongoing
basis,
a
Portfolio
may
receive
a
commitment
fee
based
on
the
undrawn
portion
of
the
underlying
line
of
credit
of
the
bank
loan. 
This
commitment
fee
is
accrued
as
income
over
the
term
of
the
bank
loan. 
A
Portfolio
may
receive
consent
and
amendment
fees
for
accepting
an
amendment
to
the
current
terms
of
a
bank
loan. 
Consent
and
amendment
fees
are
accrued
as
income
when
the
changes
to
the
bank
loan
are
immaterial
and
to
capital
when
the
changes
are
material.
All
or
a
portion
of
these
bank
loan
commitments may
be
unfunded.
A
Portfolio
is
obligated
to
fund
these
commitments
at
the
borrower’s
discretion.
Therefore,
the
Portfolio
must
have
funds
Notes
to
Schedule
of
Investments
as
of
September
29,
2023
(unaudited)
379
sufficient
to
cover
its
contractual
obligation.
These
unfunded
bank
loan
commitments,
which
are
marked-to-market
daily,
are
presented
in
the
Schedule
of
Investments
and
reflected
as
a
liability
on
the
Statement
of
Assets
and
Liabilities.
As
of
September
29,
2023,
the
Portfolios
have
the
following
unfunded
bank
loan
commitments:
Private
Equity
Funds
— 
Typically,
when
a
Portfolio
invests
in
a
Private
Equity
Fund,
the Portfolio
makes
a
commitment
to
invest
a
specified
amount
of
capital
in
the
applicable
Private
Equity
Fund.
The
capital
commitment
may
be
drawn
by
the
general
partner
of
the
Private
Equity
Fund
either
all
at
once
or
through
a
series
of
capital
calls
at
the
discretion
of
the
general
partner.
Thus,
an
unfunded
capital
commitment
represents
the
portion
of
the
Portfolio’s
overall
capital
commitment
that
has
not
yet
been
called
by
the
general
partner.
Unfunded
commitments
may
subject
the Portfolio
to
certain
risks.
For
example,
the Portfolio
may
be
required
to:
liquidate
other
portfolio
investments,
potentially
at
inopportune
times,
to
obtain
the
cash
needed
to
satisfy
its
obligations
with
respect
to
a
capital
call
or
borrow
under
a
credit
facility
which
may
result
in
additional
expenses
to
the
Portfolio.
Management
recognizes
these
risks
as
potentially
detrimental
to
the
overall
strategy
and
so
the
Fund
will
generally
maintain
with
its
custodian
cash
and/or,
liquid
investments
having
an
aggregate
value
at
least
equal
to
the
par
value
of
unfunded
capital
commitments. 
As
of
September
29,
2023,
the
unfunded
capital
commitments
were
as
follows:
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.
Fund/Borrower
Unfunded
Loan
Commitments
Thrivent
Balanced
Income
Plus
Portfolio
Bausch
+
Lomb
Corporation,
Term
Loan
85,161
CMG
Media
Corporation,
Term
Loan
144,690
GTCR
W
Merger
Sub,
LLC,
Term
Loan
249,503
McGraw-Hill
Education,
Inc.,
Term
Loan
156,066
Proampac
PG
Borrower,
LLC,
Term
Loan
118,013
Star
Parent,
Inc.,
Term
Loan
179,931
Total
933,364
Thrivent
Diversified
Income
Plus
Portfolio
Bausch
+
Lomb
Corporation,
Term
Loan
174,252
CMG
Media
Corporation,
Term
Loan
289,380
GTCR
W
Merger
Sub,
LLC,
Term
Loan
499,006
McGraw-Hill
Education,
Inc.,
Term
Loan
305,883
Proampac
PG
Borrower,
LLC,
Term
Loan
236,027
Star
Parent,
Inc.,
Term
Loan
359,863
Total
1,864,411
Thrivent
Moderate
Allocation
Portfolio
Bausch
+
Lomb
Corporation,
Term
Loan
396,193
CMG
Media
Corporation,
Term
Loan
729,479
GTCR
W
Merger
Sub,
LLC,
Term
Loan
1,257,910
McGraw-Hill
Education,
Inc.,
Term
Loan
749,760
Proampac
PG
Borrower,
LLC,
Term
Loan
594,983
Star
Parent,
Inc.,
Term
Loan
907,154
Total
4,635,479
Thrivent
Moderately
Aggressive
Allocation
Portfolio
Bausch
+
Lomb
Corporation,
Term
Loan
120,319
CMG
Media
Corporation,
Term
Loan
241,150
GTCR
W
Merger
Sub,
LLC,
Term
Loan
415,838
McGraw-Hill
Education,
Inc.,
Term
Loan
249,920
Proampac
PG
Borrower,
LLC,
Term
Loan
196,689
Star
Parent,
Inc.,
Term
Loan
299,886
Total
1,523,802
Thrivent
Moderately
Conservative
Allocation
Portfolio
Bausch
+
Lomb
Corporation,
Term
Loan
312,724
CMG
Media
Corporation,
Term
Loan
596,846
GTCR
W
Merger
Sub,
LLC,
Term
Loan
1,029,200
McGraw-Hill
Education,
Inc.,
Term
Loan
612,304
Proampac
PG
Borrower,
LLC,
Term
Loan
481,887
Star
Parent,
Inc.,
Term
Loan
742,217
Total
3,775,178
Thrivent
Opportunity
Income
Plus
Portfolio
CMG
Media
Corporation,
Term
Loan
84,403
GTCR
W
Merger
Sub,
LLC,
Term
Loan
145,543
McGraw-Hill
Education,
Inc.,
Term
Loan
87,472
Proampac
PG
Borrower,
LLC,
Term
Loan
68,842
Star
Parent,
Inc.,
Term
Loan
74,079
Total
460,339
Portfolio
Total
Commitments
Unfunded
Commitments
Percent
Funded
Aggressive
Allocation
26,000,000
26,000,000
0.00%
Moderate
Allocation
60,000,000
60,000,000
0.00%
Moderately
Aggressive
Allocation
52,000,000
52,000,000
0.00%
Moderately
Conservative
Allocation
24,000,000
24,000,000
0.00%
162,000,000
162,000,000
0.00%