0001752724-21-004593.txt : 20210120 0001752724-21-004593.hdr.sgml : 20210120 20210120135112 ACCESSION NUMBER: 0001752724-21-004593 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20201130 FILED AS OF DATE: 20210120 PERIOD START: 20210831 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIDELITY ADVISOR SERIES II CENTRAL INDEX KEY: 0000795422 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-04707 FILM NUMBER: 21538186 BUSINESS ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 BUSINESS PHONE: 617-563-7000 MAIL ADDRESS: STREET 1: 245 SUMMER STREET CITY: BOSTON STATE: MA ZIP: 02210 FORMER COMPANY: FORMER CONFORMED NAME: FIDELITY DIVERSIFIED TRUST DATE OF NAME CHANGE: 19930706 FORMER COMPANY: FORMER CONFORMED NAME: PLYMOUTH FUND DATE OF NAME CHANGE: 19920130 FORMER COMPANY: FORMER CONFORMED NAME: PLYMOUTH INVESTMENT SERIES DATE OF NAME 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BFM8T61CT2L1QCEMIK50 UBS AG LON BRANCH 1.75% 04/21/2022 144A 902674YA2 5000000.00000000 PA USD 5091919.30000000 0.128744275349 Long DBT CORP GB N 2 2022-04-21 Fixed 0.01750000 N N N N N N SBA TOWER TR N/A SBA TOWER TR 1.884% 07/15/2050 144A 78403DAP5 1204000.00000000 PA USD 1239605.53000000 0.031342231931 Long ABS-CBDO CORP US N 2 2050-07-15 Fixed 0.01884000 N N N N N N MEXICO UNITED MEXICAN STATES 254900EGTWEU67VP6075 MEXICO UNITED MEXICAN STATES 3.25% 04/16/2030 91087BAH3 3525000.00000000 PA USD 3748837.50000000 0.094785745591 Long DBT NUSS MX N 2 2030-04-16 Fixed 0.03250000 N N N N N N CHESAPEAKE FUNDING II LLC 5493000HT7H4OFOD6Z12 CFII 2017-2A A1 1.99% 07/15/2029 144A 165183AL8 253778.02540000 PA USD 254165.49000000 0.006426329621 Long ABS-CBDO CORP US N 2 2029-05-15 Fixed 0.01990000 N N N N N N DELL EQUIPMENT FINANCE TRUST 2018-2 N/A DELL EQUIPMENT FINANCE TRUST 2018-2 A3 3.37% 10/22/2023 144A 24704DAE0 1117853.59000000 PA USD 1126328.37000000 0.028478128041 Long ABS-CBDO CORP US N 2 2023-10-22 Fixed 0.03370000 N N N N N N CARMAX AUTO OWNER TR 2020-4 N/A CARMAX AUTO OWNER TR 2020-4 0.5% 08/15/2025 14316HAC6 5979000.00000000 PA USD 5994834.19000000 0.151573608723 Long ABS-CBDO CORP US N 2 2025-08-15 Fixed 0.00500000 N N N N N N CHICAGO BOARD OF TRADE N/A US 2YR NOTE (CBT) FUT MAR21 TUH1 N/A 48.00000000 NC USD 5906.04000000 0.000149328533 N/A DIR CORP US N 1 CHICAGO BOARD OF TRADE N/A Long UST NOTES UST NOTES 0% 06/30/2040 2021-03-31 10594968.96000000 USD 5906.04000000 N N N IMPERIAL TOBACCO FINANCE 2138008L3B3MCG1DFS50 IMPERIAL TOBACCO FINANCE 4.25% 07/21/2025 144A 453140AF2 13000000.00000000 PA USD 14600672.58000000 0.369163943922 Long DBT CORP GB N 2 2025-07-21 Fixed 0.04250000 N N N N N N WELLS FARGO and CO PBLD0EJDB5FWOLXP3B76 WELLS FARGO and CO NEW 2.188/VAR 04/30/2026 95000U2N2 5000000.00000000 PA USD 5233720.35000000 0.132329578326 Long DBT CORP US N 2 2026-04-30 Variable 0.02188000 N N N N N N FNMA GTD MTG PASS THRU CTF B1V7KEBTPIMZEU4LTD58 FNMA 7.50% 11/27 #313853 31374GTJ6 129.65020000 PA USD 146.50000000 0.000003704111 Long ABS-MBS USGSE US N 2 2027-11-01 Fixed 0.07500000 N N N N N N CANADIAN NATL RESOURCES LTD 549300T15RIMIKZC5Q38 CANADIAN NATL RESOURCES LTD 2.05% 07/15/2025 136385AZ4 3668000.00000000 PA USD 3776676.13000000 0.095489618538 Long DBT CORP CA N 2 2025-07-15 Fixed 0.02050000 N N N N N N GUARDIAN LIFE GLOBAL FUNDING 635400NHILJ5JEKILC36 GUARDIAN LIFE GLOBAL FUNDING 1.4% 07/06/2027 144A 40139LAH6 8010000.00000000 PA USD 8076233.49000000 0.204199785377 Long DBT CORP US N 2 2027-07-06 Fixed 0.01400000 N N N N N N FNMA GTD MTG PASS THRU CTF B1V7KEBTPIMZEU4LTD58 FNMA 4.50% 3/35 #816100 31406PUZ0 2835.41880000 PA USD 3149.29000000 0.000079626764 Long ABS-MBS USGSE US N 2 2035-03-01 Fixed 0.04500000 N N N N N N MORTGAGE REPURCHASE AGREEMENT FINANCING TRUST SERIES 2016-5 N/A MORTGAGE REPURCHASE AGREEMENT FINANCING TRUST SERIES 2020-5 A1 1ML+100 08/10/2023 144A 61916BBA7 7218000.00000000 PA USD 7218093.83000000 0.182502550569 Long ABS-CBDO CORP US N 2 2023-08-10 Variable 0.01000000 N N N N N N GS MTG SECS TR 2015-GC32 54930066YOFVQE068N73 GS MTG SECS TR 2015-GC32 A2 3.062% 07/48 36250PAB1 251908.29000000 PA USD 252552.32000000 0.006385542171 Long ABS-MBS CORP US N 2 2048-07-10 Fixed 0.03062000 N N N N N N WFRBS COML MTG TR 2013-C14 549300GADFYEKC4OLM57 WFRBS 2013-C14 A5 3.337% 6/46 92890PAE4 7196000.00000000 PA USD 7603597.27000000 0.192249633762 Long ABS-MBS CORP US N 2 2046-06-15 Fixed 0.03337000 N N N N N N HONEYWELL INTERNATIONAL INC ISRPG12PN4EIEOEMW547 HONEYWELL INTL INC 0.483% 08/19/2022 438516CC8 8856000.00000000 PA USD 8869284.00000000 0.224251303717 Long DBT CORP US N 2 2022-08-19 Fixed 0.00483000 N N N N N N 2020-12-30 Laura M. Del Prato Laura M. Del Prato Laura M. Del Prato President and Treasurer XXXX NPORT-EX 2 QTLY_87_20201130.htm

Quarterly Holdings Report
for

Fidelity Advisor® Limited Term Bond Fund

November 30, 2020







LTB-QTLY-0121
1.813046.116





Schedule of Investments November 30, 2020 (Unaudited)

Showing Percentage of Net Assets

Nonconvertible Bonds - 59.3%   
 Principal Amount Value 
COMMUNICATION SERVICES - 1.8%   
Diversified Telecommunication Services - 0.5%   
AT&T, Inc. 1.65% 2/1/28 $7,588,000 $7,694,623 
Verizon Communications, Inc.:   
2.946% 3/15/22 3,961,000 4,093,495 
3% 3/22/27 626,000 695,120 
5.15% 9/15/23 5,498,000 6,209,979 
  18,693,217 
Media - 1.0%   
Charter Communications Operating LLC/Charter Communications Operating Capital Corp. 4.464% 7/23/22 16,000,000 16,911,357 
Comcast Corp.:   
3.7% 4/15/24 4,500,000 4,953,992 
3.95% 10/15/25 2,610,000 2,991,915 
Discovery Communications LLC:   
2.95% 3/20/23 7,000,000 7,379,494 
3.625% 5/15/30 1,664,000 1,896,684 
Time Warner Cable, Inc. 4.125% 2/15/21 6,164,000 6,174,528 
  40,307,970 
Wireless Telecommunication Services - 0.3%   
Rogers Communications, Inc. 3 month U.S. LIBOR + 0.600% 0.8254% 3/22/22 (a)(b) 7,115,000 7,161,226 
T-Mobile U.S.A., Inc. 3.5% 4/15/25 (c) 6,000,000 6,635,280 
  13,796,506 
TOTAL COMMUNICATION SERVICES  72,797,693 
CONSUMER DISCRETIONARY - 3.8%   
Automobiles - 2.6%   
American Honda Finance Corp.:   
0.4% 10/21/22 6,720,000 6,727,707 
2.65% 2/12/21 5,000,000 5,022,655 
BMW U.S. Capital LLC:   
2.7% 4/6/22 (c) 5,799,000 5,968,406 
3.45% 4/12/23 (c) 7,000,000 7,445,415 
Daimler Finance North America LLC:   
2.3% 2/12/21 (c) 5,500,000 5,519,751 
2.85% 1/6/22 (c) 3,175,000 3,257,031 
General Motors Financial Co., Inc.:   
U.S. SECURED OVERNIGHT FINL RATE (SOFR) INDX + 1.200% 1.2656% 11/17/23 (a)(b) 15,000,000 15,013,200 
1.7% 8/18/23 10,000,000 10,241,661 
3.25% 1/5/23 5,000,000 5,226,538 
3.55% 4/9/21 3,143,000 3,174,879 
4.15% 6/19/23 5,231,000 5,629,184 
4.2% 3/1/21 3,000,000 3,016,367 
5.2% 3/20/23 2,909,000 3,190,587 
Volkswagen Group of America Finance LLC:   
1.25% 11/24/25 (c) 10,040,000 10,048,169 
2.5% 9/24/21 (c) 5,970,000 6,066,319 
4% 11/12/21 (c) 7,000,000 7,232,977 
  102,780,846 
Diversified Consumer Services - 0.1%   
Ingersoll-Rand Global Holding Co. Ltd. 2.9% 2/21/21 4,228,000 4,250,341 
Hotels, Restaurants & Leisure - 0.2%   
McDonald's Corp.:   
2.625% 1/15/22 3,229,000 3,311,056 
3.3% 7/1/25 1,040,000 1,156,137 
Starbucks Corp.:   
1.3% 5/7/22 1,421,000 1,439,383 
3.8% 8/15/25 2,340,000 2,653,100 
  8,559,676 
Household Durables - 0.1%   
D.R. Horton, Inc. 2.55% 12/1/20 3,743,000 3,743,000 
Internet & Direct Marketing Retail - 0.1%   
Amazon.com, Inc. 0.8% 6/3/25 3,438,000 3,484,929 
Leisure Products - 0.0%   
Hasbro, Inc. 2.6% 11/19/22 2,334,000 2,416,188 
Multiline Retail - 0.2%   
Dollar Tree, Inc. 4% 5/15/25 6,000,000 6,769,845 
Specialty Retail - 0.5%   
AutoZone, Inc.:   
3.125% 7/15/23 3,247,000 3,440,920 
3.625% 4/15/25 545,000 607,051 
Ross Stores, Inc. 0.875% 4/15/26 7,357,000 7,286,835 
TJX Companies, Inc.:   
1.15% 5/15/28 5,584,000 5,591,376 
3.5% 4/15/25 1,742,000 1,936,307 
  18,862,489 
TOTAL CONSUMER DISCRETIONARY  150,867,314 
CONSUMER STAPLES - 3.3%   
Beverages - 0.5%   
Anheuser-Busch InBev Worldwide, Inc. 4.15% 1/23/25 4,276,000 4,856,545 
Molson Coors Beverage Co.:   
3% 7/15/26 10,575,000 11,528,722 
3.5% 5/1/22 4,098,000 4,265,327 
  20,650,594 
Food & Staples Retailing - 0.2%   
Costco Wholesale Corp. 1.375% 6/20/27 2,448,000 2,513,819 
Kroger Co. 3.3% 1/15/21 5,000,000 5,011,038 
  7,524,857 
Food Products - 0.4%   
Mondelez International, Inc.:   
0.625% 7/1/22 10,000,000 10,048,200 
2.125% 4/13/23 2,817,000 2,922,522 
  12,970,722 
Tobacco - 2.2%   
Altria Group, Inc.:   
2.35% 5/6/25 1,003,000 1,062,941 
2.85% 8/9/22 5,000,000 5,203,200 
3.49% 2/14/22 1,879,000 1,951,907 
3.8% 2/14/24 2,268,000 2,476,864 
BAT Capital Corp.:   
2.764% 8/15/22 10,000,000 10,343,645 
3.222% 8/15/24 7,000,000 7,573,634 
BAT International Finance PLC:   
1.668% 3/25/26 10,000,000 10,178,517 
3.95% 6/15/25 (c) 5,000,000 5,622,738 
Imperial Tobacco Finance PLC:   
3.125% 7/26/24 (c) 8,250,000 8,801,769 
4.25% 7/21/25 (c) 13,000,000 14,600,673 
Philip Morris International, Inc.:   
0.875% 5/1/26 4,502,000 4,495,429 
1.125% 5/1/23 4,000,000 4,077,446 
1.5% 5/1/25 3,501,000 3,615,970 
2.625% 2/18/22 1,793,000 1,839,756 
2.875% 5/1/24 4,910,000 5,279,553 
  87,124,042 
TOTAL CONSUMER STAPLES  128,270,215 
ENERGY - 5.5%   
Oil, Gas & Consumable Fuels - 5.5%   
Canadian Natural Resources Ltd.:   
2.05% 7/15/25 3,668,000 3,776,676 
3.45% 11/15/21 7,927,000 8,087,626 
Cenovus Energy, Inc.:   
3% 8/15/22 9,205,000 9,229,765 
3.8% 9/15/23 2,000,000 2,062,744 
Chevron Corp. 1.554% 5/11/25 7,110,000 7,391,430 
Chevron U.S.A., Inc. 0.426% 8/11/23 3,944,000 3,954,676 
Encana Corp. 3.9% 11/15/21 4,500,000 4,532,414 
Energy Transfer Partners LP:   
2.9% 5/15/25 7,150,000 7,418,189 
3.6% 2/1/23 2,824,000 2,932,871 
4.2% 9/15/23 1,441,000 1,534,221 
4.5% 4/15/24 570,000 614,375 
Enterprise Products Operating LP:   
2.8% 2/15/21 2,038,000 2,048,229 
2.85% 4/15/21 1,590,000 1,601,236 
Equinor ASA:   
1.75% 1/22/26 1,120,000 1,170,882 
2.875% 4/6/25 7,000,000 7,606,417 
Kinder Morgan Energy Partners LP 3.5% 9/1/23 5,738,000 6,127,365 
Marathon Oil Corp. 2.8% 11/1/22 2,375,000 2,426,727 
Marathon Petroleum Corp. 4.5% 5/1/23 5,640,000 6,094,653 
MPLX LP:   
3 month U.S. LIBOR + 1.100% 1.3418% 9/9/22 (a)(b) 1,082,000 1,082,158 
1.75% 3/1/26 15,044,000 15,243,095 
3.375% 3/15/23 6,618,000 6,989,002 
4.5% 7/15/23 856,000 927,925 
Newfield Exploration Co. 5.625% 7/1/24 1,967,000 2,088,543 
Occidental Petroleum Corp.:   
2.7% 8/15/22 624,000 614,827 
2.9% 8/15/24 2,061,000 1,921,883 
3.125% 2/15/22 1,336,000 1,332,593 
3.2% 8/15/26 277,000 243,954 
Petrobras Global Finance BV 5.299% 1/27/25 7,000,000 7,962,063 
Petroleos Mexicanos:   
6.49% 1/23/27 6,035,000 6,035,000 
6.875% 10/16/25 (c) 10,000,000 10,450,100 
Phillips 66 Co.:   
1.3% 2/15/26 6,892,000 6,941,061 
3.7% 4/6/23 4,430,000 4,739,710 
3.85% 4/9/25 7,000,000 7,830,756 
Plains All American Pipeline LP/PAA Finance Corp. 3.65% 6/1/22 4,768,000 4,897,315 
Schlumberger Investment SA 3.3% 9/14/21 (c) 5,000,000 5,082,928 
Shell International Finance BV 3.5% 11/13/23 1,470,000 1,600,762 
Suncor Energy, Inc. 3.6% 12/1/24 7,800,000 8,591,110 
TransCanada PipeLines Ltd. 2.5% 8/1/22 5,142,000 5,316,105 
Valero Energy Corp.:   
1.2% 3/15/24 10,000,000 9,998,130 
2.7% 4/15/23 805,000 836,802 
2.85% 4/15/25 463,000 486,277 
Western Gas Partners LP:   
3 month U.S. LIBOR + 0.850% 2.0741% 1/13/23 (a)(b) 2,040,000 1,972,893 
4.1% 2/1/25 3,287,000 3,279,736 
5.375% 6/1/21 10,371,000 10,448,783 
Williams Partners LP 3.6% 3/15/22 12,000,000 12,418,723 
  217,942,730 
FINANCIALS - 30.3%   
Banks - 16.6%   
ABN AMRO Bank NV 3 month U.S. LIBOR + 0.570% 0.803% 8/27/21 (a)(b)(c) 5,000,000 5,017,620 
Bank of America Corp.:   
3 month U.S. LIBOR + 0.640% 2.015% 2/13/26 (a)(b) 11,000,000 11,476,669 
1.197% 10/24/26 (a) 13,673,000 13,761,600 
1.319% 6/19/26 (a) 16,000,000 16,190,374 
3.004% 12/20/23 (a) 6,462,000 6,788,605 
3.124% 1/20/23 (a) 10,000,000 10,299,544 
4.2% 8/26/24 15,750,000 17,621,240 
Bank of Nova Scotia 0.55% 9/15/23 10,000,000 10,043,363 
Barclays Bank PLC:   
1.7% 5/12/22 1,358,000 1,382,077 
2.65% 1/11/21 5,500,000 5,503,175 
Barclays PLC:   
2.852% 5/7/26 (a) 18,848,000 20,007,157 
3.2% 8/10/21 5,045,000 5,139,104 
3.25% 1/12/21 2,046,000 2,052,142 
3.932% 5/7/25 (a) 4,000,000 4,353,494 
BNP Paribas SA:   
2.219% 6/9/26 (a)(c) 8,627,000 8,989,724 
3.5% 3/1/23 (c) 17,000,000 18,089,730 
BPCE SA:   
1.652% 10/6/26 (a)(c) 20,000,000 20,334,724 
2.75% 12/2/21 2,000,000 2,048,065 
4% 9/12/23 (c) 5,000,000 5,440,503 
Canadian Imperial Bank of Commerce 0.95% 6/23/23 10,000,000 10,125,090 
Capital One Bank NA:   
2.014% 1/27/23 (a) 4,662,000 4,742,298 
2.28% 1/28/26 (a) 7,000,000 7,302,001 
Capital One NA 2.15% 9/6/22 1,762,000 1,813,817 
CIT Group, Inc.:   
3.929% 6/19/24 (a) 815,000 859,907 
4.75% 2/16/24 5,000,000 5,437,500 
Citigroup, Inc.:   
2.312% 11/4/22 (a) 5,000,000 5,085,850 
2.7% 10/27/22 5,000,000 5,208,090 
2.75% 4/25/22 4,010,000 4,134,761 
3.106% 4/8/26 (a) 10,000,000 10,870,095 
4.4% 6/10/25 3,018,000 3,456,295 
Citizens Financial Group, Inc. 2.375% 7/28/21 417,000 421,811 
Credit Suisse Group Funding Guernsey Ltd. 3.45% 4/16/21 6,000,000 6,068,880 
Danske Bank A/S 3.875% 9/12/23 (c) 6,000,000 6,473,493 
HSBC Holdings PLC:   
1.589% 5/24/27 (a) 10,000,000 10,086,060 
1.645% 4/18/26 (a) 6,567,000 6,659,703 
3.262% 3/13/23 (a) 3,374,000 3,491,404 
3.803% 3/11/25 (a) 5,000,000 5,441,195 
3.95% 5/18/24 (a) 3,000,000 3,230,972 
Huntington Bancshares, Inc.:   
2.3% 1/14/22 2,283,000 2,330,575 
2.625% 8/6/24 4,610,000 4,934,494 
7% 12/15/20 180,000 180,419 
ING Groep NV 3.15% 3/29/22 5,250,000 5,437,231 
Intesa Sanpaolo SpA 3.375% 1/12/23 (c) 5,775,000 6,034,586 
JPMorgan Chase & Co.:   
1.045% 11/19/26 (a) 15,000,000 15,079,352 
1.514% 6/1/24 (a) 5,770,000 5,905,074 
2.083% 4/22/26 (a) 25,219,000 26,419,343 
2.956% 5/13/31 (a) 12,053,000 13,113,040 
3.207% 4/1/23 (a) 8,000,000 8,299,040 
3.514% 6/18/22 (a) 8,000,000 8,134,949 
3.559% 4/23/24 (a) 10,000,000 10,715,037 
Lloyds Banking Group PLC:   
1.326% 6/15/23 (a) 1,698,000 1,715,677 
2.438% 2/5/26 (a) 2,636,000 2,772,737 
2.907% 11/7/23 (a) 10,197,000 10,637,723 
Mitsubishi UFJ Financial Group, Inc.:   
0.848% 9/15/24 (a) 7,000,000 7,031,639 
1.412% 7/17/25 8,000,000 8,170,195 
2.19% 9/13/21 2,760,000 2,798,576 
2.193% 2/25/25 7,200,000 7,583,260 
2.623% 7/18/22 5,000,000 5,182,626 
2.998% 2/22/22 2,619,000 2,702,910 
3.218% 3/7/22 5,000,000 5,179,714 
Mizuho Financial Group, Inc.:   
0.849% 9/8/24 (a) 17,495,000 17,539,540 
2.273% 9/13/21 3,000,000 3,045,546 
2.953% 2/28/22 10,000,000 10,327,297 
National Bank of Canada 0.9% 8/15/23 (a) 10,100,000 10,170,504 
Regions Financial Corp.:   
2.25% 5/18/25 3,135,000 3,317,192 
2.75% 8/14/22 5,022,000 5,211,442 
3.8% 8/14/23 1,805,000 1,963,961 
Royal Bank of Canada 1.15% 6/10/25 15,000,000 15,308,956 
Royal Bank of Scotland Group PLC:   
2.359% 5/22/24 (a) 4,223,000 4,376,565 
3.875% 9/12/23 12,600,000 13,651,541 
4.519% 6/25/24 (a) 10,962,000 11,950,213 
Santander Holdings U.S.A., Inc.:   
3.4% 1/18/23 5,500,000 5,780,449 
3.45% 6/2/25 5,700,000 6,172,029 
4.45% 12/3/21 4,500,000 4,661,283 
Sumitomo Mitsui Financial Group, Inc. 1.474% 7/8/25 10,000,000 10,224,671 
SVB Financial Group 3.125% 6/5/30 3,077,000 3,452,288 
Svenska Handelsbanken AB 0.625% 6/30/23 (c) 7,000,000 7,038,710 
Synchrony Bank 3% 6/15/22 2,328,000 2,405,817 
Synovus Bank 2.289% 2/10/23 (a) 1,640,000 1,660,461 
Synovus Financial Corp. 3.125% 11/1/22 7,118,000 7,355,266 
The Toronto-Dominion Bank 0.75% 6/12/23 10,000,000 10,082,585 
Wells Fargo & Co.:   
1.654% 6/2/24 (a) 5,500,000 5,628,244 
2.164% 2/11/26 (a) 10,000,000 10,469,510 
2.188% 4/30/26 (a) 5,000,000 5,233,720 
2.406% 10/30/25 (a) 14,000,000 14,742,143 
3.75% 1/24/24 5,000,000 5,431,076 
4.3% 7/22/27 7,000,000 8,159,480 
Westpac Banking Corp. 4.11% 7/24/34 (a) 1,710,000 1,941,458 
Zions Bancorp NA 3.35% 3/4/22 1,971,000 2,032,228 
  655,140,504 
Capital Markets - 5.9%   
Credit Suisse AG:   
U.S. SECURED OVERNIGHT FINL RATE (SOFR) INDX + 0.450% 0.5347% 2/4/22 (a)(b) 7,000,000 7,009,730 
1% 5/5/23 5,000,000 5,067,207 
2.1% 11/12/21 4,059,000 4,126,917 
Credit Suisse Group AG:   
2.593% 9/11/25 (a)(c) 4,805,000 5,069,408 
3.574% 1/9/23 (c) 15,000,000 15,481,057 
Deutsche Bank AG New York Branch:   
U.S. SECURED OVERNIGHT FINL RATE (SOFR) INDX + 0.000% 2.222% 9/18/24 (a) 10,000,000 10,203,815 
2.129% 11/24/26 (a) 6,479,000 6,557,393 
3.15% 1/22/21 10,179,000 10,210,148 
3.3% 11/16/22 7,000,000 7,292,194 
E*TRADE Financial Corp. 2.95% 8/24/22 10,000,000 10,423,114 
Goldman Sachs Group, Inc.:   
0.627% 11/17/23 (a) 8,000,000 8,021,184 
2.876% 10/31/22 (a) 12,097,000 12,362,362 
2.905% 7/24/23 (a) 22,500,000 23,396,306 
3% 4/26/22 8,000,000 8,083,870 
3.2% 2/23/23 12,500,000 13,233,109 
3.272% 9/29/25 (a) 5,000,000 5,450,543 
Intercontinental Exchange, Inc. 0.7% 6/15/23 6,859,000 6,893,698 
Moody's Corp.:   
2.625% 1/15/23 5,950,000 6,211,442 
4.875% 2/15/24 4,000,000 4,506,970 
Morgan Stanley:   
U.S. SECURED OVERNIGHT FINL RATE (SOFR) INDX + 0.700% 0.784% 1/20/23 (a)(b) 5,000,000 5,013,823 
0.56% 11/10/23 (a) 10,000,000 10,006,933 
2.188% 4/28/26 (a) 5,000,000 5,273,548 
2.625% 11/17/21 5,350,000 5,465,038 
2.72% 7/22/25 (a) 3,953,000 4,227,734 
3.737% 4/24/24 (a) 12,000,000 12,901,145 
4.875% 11/1/22 7,000,000 7,564,960 
State Street Corp. 2.901% 3/30/26 (a) 305,000 331,625 
UBS AG London Branch 1.75% 4/21/22 (c) 5,000,000 5,091,919 
UBS Group AG 1.008% 7/30/24 (a)(c) 7,594,000 7,648,432 
  233,125,624 
Consumer Finance - 2.7%   
AerCap Ireland Capital Ltd./AerCap Global Aviation Trust:   
3.3% 1/23/23 7,000,000 7,227,163 
3.5% 5/26/22 915,000 941,068 
4.125% 7/3/23 1,826,000 1,935,774 
4.875% 1/16/24 1,481,000 1,595,090 
Ally Financial, Inc.:   
1.45% 10/2/23 1,220,000 1,243,576 
3.05% 6/5/23 8,326,000 8,778,682 
4.25% 4/15/21 2,920,000 2,958,622 
5.125% 9/30/24 9,760,000 11,193,630 
Aviation Capital Group LLC:   
3 month U.S. LIBOR + 0.670% 0.8844% 7/30/21 (a)(b)(c) 4,379,000 4,305,068 
3 month U.S. LIBOR + 0.950% 1.196% 6/1/21 (a)(b)(c) 4,740,000 4,690,261 
Capital One Financial Corp.:   
3.2% 1/30/23 10,000,000 10,573,066 
3.9% 1/29/24 3,000,000 3,288,864 
Discover Financial Services 5.2% 4/27/22 3,239,000 3,437,406 
Ford Motor Credit Co. LLC:   
3.087% 1/9/23 10,000,000 10,037,500 
3.336% 3/18/21 4,500,000 4,515,525 
3.339% 3/28/22 2,246,000 2,260,038 
4.14% 2/15/23 5,000,000 5,127,872 
John Deere Capital Corp.:   
0.7% 7/5/23 2,935,000 2,960,302 
2.6% 3/7/24 1,555,000 1,661,296 
Synchrony Financial:   
2.85% 7/25/22 703,000 726,156 
4.25% 8/15/24 2,551,000 2,800,758 
4.375% 3/19/24 4,922,000 5,408,732 
Toyota Motor Credit Corp.:   
0.5% 8/14/23 4,167,000 4,179,293 
2.6% 1/11/22 5,500,000 5,638,238 
  107,483,980 
Diversified Financial Services - 0.6%   
AIG Global Funding:   
0.8% 7/7/23 (c) 2,197,000 2,217,990 
0.9% 9/22/25 (c) 7,000,000 7,022,418 
2.3% 7/1/22 (c) 1,900,000 1,956,303 
3.35% 6/25/21 (c) 5,000,000 5,087,806 
BP Capital Markets America, Inc. 2.937% 4/6/23 1,665,000 1,761,657 
Brixmor Operating Partnership LP 3.875% 8/15/22 6,534,000 6,795,415 
Equitable Holdings, Inc. 3.9% 4/20/23 467,000 503,994 
  25,345,583 
Insurance - 4.5%   
American International Group, Inc.:   
2.5% 6/30/25 5,000,000 5,369,514 
4.2% 4/1/28 4,000,000 4,766,492 
4.875% 6/1/22 5,484,000 5,845,634 
Aon Corp. 2.2% 11/15/22 1,504,000 1,556,214 
Empower Finance 2020 LP 1.357% 9/17/27 (c) 5,321,000 5,339,930 
Equitable Financial Life Global Funding:   
0.5% 11/17/23 (c) 10,075,000 10,083,989 
1.4% 8/27/27 (c) 15,000,000 15,025,712 
Great-West Lifeco U.S. Finance 2020 LP 0.904% 8/12/25 (c) 3,381,000 3,381,170 
Guardian Life Global Funding:   
1.1% 6/23/25 (c) 7,850,000 7,938,244 
1.4% 7/6/27 (c) 8,010,000 8,076,233 
Liberty Mutual Group, Inc. 5% 6/1/21 (c) 16,714,000 17,095,485 
Marsh & McLennan Companies, Inc.:   
2.75% 1/30/22 4,993,000 5,120,586 
3.3% 3/14/23 1,731,000 1,834,120 
3.875% 3/15/24 6,123,000 6,758,849 
MassMutual Global Funding II:   
0.85% 6/9/23 (c) 10,000,000 10,116,692 
2.5% 4/13/22 (c) 5,440,000 5,608,599 
Metropolitan Life Global Funding I:   
0.9% 6/8/23 (c) 4,581,000 4,641,132 
1.95% 1/13/23 (c) 5,000,000 5,165,097 
2.65% 4/8/22 (c) 5,000,000 5,158,470 
Metropolitan Tower Global Funding 0.55% 7/13/22 (c) 10,000,000 10,043,816 
New York Life Global Funding 1.1% 5/5/23 (c) 2,841,000 2,889,811 
Pacific Life Global Funding II 1.2% 6/24/25 (c) 4,494,000 4,561,806 
Pricoa Global Funding I:   
2.4% 9/23/24 (c) 6,476,000 6,857,774 
2.45% 9/21/22 (c) 4,109,000 4,263,577 
Protective Life Global Funding 2.615% 8/22/22 (c) 10,240,000 10,628,810 
Prudential Financial, Inc. 3.5% 5/15/24 2,550,000 2,807,909 
Willis Group North America, Inc. 4.5% 9/15/28 5,000,000 6,049,259 
  176,984,924 
TOTAL FINANCIALS  1,198,080,615 
HEALTH CARE - 3.8%   
Biotechnology - 0.6%   
AbbVie, Inc.:   
2.3% 11/21/22 6,780,000 7,018,758 
3.45% 3/15/22 5,000,000 5,168,794 
Amgen, Inc. 2.65% 5/11/22 1,600,000 1,649,555 
Nutrition & Biosciences, Inc.:   
0.697% 9/15/22 (c) 1,352,000 1,356,858 
1.23% 10/1/25 (c) 7,000,000 7,086,753 
  22,280,718 
Health Care Equipment & Supplies - 0.5%   
Alcon Finance Corp. 2.75% 9/23/26 (c) 4,038,000 4,405,436 
Becton, Dickinson & Co. 2.894% 6/6/22 3,544,000 3,665,502 
Boston Scientific Corp.:   
1.9% 6/1/25 5,000,000 5,234,672 
3.45% 3/1/24 1,869,000 2,027,183 
Zimmer Biomet Holdings, Inc. 3 month U.S. LIBOR + 0.750% 0.9774% 3/19/21 (a)(b) 3,916,000 3,916,777 
  19,249,570 
Health Care Providers & Services - 1.0%   
Anthem, Inc. 2.95% 12/1/22 3,723,000 3,904,443 
Centene Corp. 4.75% 1/15/25 2,090,000 2,154,226 
Cigna Corp.:   
3.4% 9/17/21 6,363,000 6,516,399 
3.75% 7/15/23 4,703,000 5,091,186 
CVS Health Corp.:   
3.35% 3/9/21 6,325,000 6,378,001 
3.7% 3/9/23 7,132,000 7,629,599 
Humana, Inc. 2.5% 12/15/20 3,630,000 3,632,874 
UnitedHealth Group, Inc.:   
1.25% 1/15/26 597,000 613,918 
3.35% 7/15/22 3,000,000 3,148,565 
  39,069,211 
Life Sciences Tools & Services - 0.3%   
Thermo Fisher Scientific, Inc.:   
2.95% 9/19/26 6,566,000 7,303,343 
3% 4/15/23 5,000,000 5,281,300 
  12,584,643 
Pharmaceuticals - 1.4%   
Bayer U.S. Finance II LLC:   
3.375% 7/15/24 (c) 5,000,000 5,394,910 
3.5% 6/25/21 (c) 7,000,000 7,103,615 
4.25% 12/15/25 (c) 10,500,000 12,014,475 
Bristol-Myers Squibb Co.:   
2.6% 5/16/22 4,893,000 5,058,356 
2.9% 7/26/24 6,000,000 6,483,648 
3.2% 6/15/26 5,000,000 5,610,468 
Elanco Animal Health, Inc.:   
4.912% 8/27/21 (a) 3,082,000 3,159,358 
5.272% 8/28/23 (a) 552,000 599,729 
Mylan NV 3.125% 1/15/23 (c) 5,791,000 6,082,403 
Shire Acquisitions Investments Ireland DAC 2.4% 9/23/21 1,892,000 1,919,867 
Utah Acquisition Sub, Inc. 3.15% 6/15/21 2,306,000 2,334,646 
Viatris, Inc.:   
1.125% 6/22/22 (c) 1,494,000 1,507,357 
1.65% 6/22/25 (c) 480,000 494,357 
  57,763,189 
TOTAL HEALTH CARE  150,947,331 
INDUSTRIALS - 3.4%   
Aerospace & Defense - 0.5%   
BAE Systems Holdings, Inc. 2.85% 12/15/20 (c) 5,615,000 5,619,665 
The Boeing Co.:   
1.95% 2/1/24 10,390,000 10,489,724 
4.875% 5/1/25 3,000,000 3,348,955 
  19,458,344 
Airlines - 0.4%   
American Airlines 2019-1 Class B Pass Through Trust equipment trust certificate 3.85% 8/15/29 5,251,384 3,776,246 
Delta Air Lines, Inc.:   
2.9% 10/28/24 5,500,000 5,254,916 
3.4% 4/19/21 3,790,000 3,794,738 
United Airlines 2019-2 Class B Pass Through Trust equipment trust certificate 3.5% 11/1/29 3,923,368 3,295,629 
  16,121,529 
Building Products - 0.1%   
Carrier Global Corp. 2.242% 2/15/25 (c) 3,940,000 4,136,800 
Commercial Services & Supplies - 0.4%   
Republic Services, Inc. 0.875% 11/15/25 15,000,000 15,066,804 
Industrial Conglomerates - 0.5%   
General Electric Co. 3.45% 5/1/27 679,000 747,905 
Honeywell International, Inc. 0.483% 8/19/22 8,856,000 8,869,284 
Roper Technologies, Inc.:   
1% 9/15/25 995,000 1,000,678 
2.8% 12/15/21 3,883,000 3,972,701 
3.65% 9/15/23 3,078,000 3,340,856 
  17,931,424 
Machinery - 0.7%   
Caterpillar Financial Services Corp.:   
3 month U.S. LIBOR + 0.220% 0.4535% 1/6/22 (a)(b) 4,075,000 4,080,286 
0.95% 5/13/22 6,000,000 6,056,972 
Deere & Co. 2.75% 4/15/25 423,000 460,250 
Otis Worldwide Corp.:   
3 month U.S. LIBOR + 0.450% 0.684% 4/5/23 (a)(b) 4,000,000 4,001,004 
2.056% 4/5/25 7,000,000 7,352,712 
Westinghouse Air Brake Co. 4.4% 3/15/24 5,900,000 6,442,121 
  28,393,345 
Road & Rail - 0.2%   
Avolon Holdings Funding Ltd.:   
2.875% 2/15/25 (c) 7,180,000 7,053,542 
3.625% 5/1/22 (c) 719,000 729,666 
3.95% 7/1/24 (c) 955,000 981,372 
  8,764,580 
Trading Companies & Distributors - 0.6%   
Air Lease Corp.:   
2.5% 3/1/21 3,120,000 3,133,541 
2.625% 7/1/22 5,000,000 5,130,288 
3.375% 6/1/21 8,097,000 8,191,467 
3.75% 2/1/22 1,228,000 1,261,944 
4.25% 2/1/24 2,597,000 2,793,779 
International Lease Finance Corp. 5.875% 8/15/22 4,375,000 4,710,823 
  25,221,842 
TOTAL INDUSTRIALS  135,094,668 
INFORMATION TECHNOLOGY - 2.0%   
Electronic Equipment & Components - 0.5%   
Amphenol Corp. 3.2% 4/1/24 896,000 966,186 
Diamond 1 Finance Corp./Diamond 2 Finance Corp. 5.45% 6/15/23 (c) 17,591,000 19,462,825 
  20,429,011 
IT Services - 0.5%   
IBM Corp. 2.85% 5/13/22 7,000,000 7,262,351 
PayPal Holdings, Inc.:   
1.35% 6/1/23 2,668,000 2,733,863 
1.65% 6/1/25 2,097,000 2,180,463 
The Western Union Co.:   
2.85% 1/10/25 1,242,000 1,326,965 
4.25% 6/9/23 5,000,000 5,413,037 
Visa, Inc. 1.9% 4/15/27 1,132,000 1,197,337 
  20,114,016 
Semiconductors & Semiconductor Equipment - 0.3%   
Micron Technology, Inc.:   
2.497% 4/24/23 3,383,000 3,532,735 
4.185% 2/15/27 6,000,000 6,927,545 
  10,460,280 
Software - 0.3%   
Microsoft Corp. 2.4% 8/8/26 10,000,000 10,894,074 
Technology Hardware, Storage & Peripherals - 0.4%   
Apple, Inc. 2.45% 8/4/26 15,000,000 16,324,708 
TOTAL INFORMATION TECHNOLOGY  78,222,089 
MATERIALS - 0.4%   
Chemicals - 0.4%   
Chevron Phillips Chemical Co. LLC / Chevron Phillips Chemical Co. LP 3.3% 5/1/23 (c) 3,089,000 3,267,767 
LYB International Finance III LLC 1.25% 10/1/25 6,305,000 6,361,278 
The Mosaic Co. 3.25% 11/15/22 7,000,000 7,317,763 
  16,946,808 
REAL ESTATE - 1.5%   
Equity Real Estate Investment Trusts (REITs) - 1.4%   
American Tower Corp. 1.3% 9/15/25 2,406,000 2,446,835 
Boston Properties, Inc. 3.2% 1/15/25 3,000,000 3,252,505 
Crown Castle International Corp. 1.35% 7/15/25 566,000 574,997 
ERP Operating LP 3.375% 6/1/25 3,000,000 3,314,054 
Federal Realty Investment Trust 2.55% 1/15/21 5,000,000 5,003,667 
Healthcare Trust of America Holdings LP 3.5% 8/1/26 621,000 700,325 
Kimco Realty Corp. 3.3% 2/1/25 5,500,000 6,019,540 
Omega Healthcare Investors, Inc. 4.375% 8/1/23 5,877,000 6,330,143 
Retail Properties America, Inc. 4% 3/15/25 2,778,000 2,790,048 
Simon Property Group LP:   
2.35% 1/30/22 1,046,000 1,063,663 
2.75% 6/1/23 4,610,000 4,849,720 
SITE Centers Corp. 4.25% 2/1/26 1,865,000 1,990,036 
Ventas Realty LP:   
2.65% 1/15/25 3,710,000 3,953,913 
3% 1/15/30 4,013,000 4,265,126 
3.125% 6/15/23 591,000 621,205 
3.5% 4/15/24 2,140,000 2,329,238 
VEREIT Operating Partnership LP 2.2% 6/15/28 456,000 458,696 
Welltower, Inc.:   
3.625% 3/15/24 4,035,000 4,389,594 
3.95% 9/1/23 1,993,000 2,166,342 
  56,519,647 
Real Estate Management & Development - 0.1%   
Brandywine Operating Partnership LP:   
3.95% 2/15/23 3,334,000 3,449,525 
4.1% 10/1/24 372,000 391,384 
Mack-Cali Realty LP 4.5% 4/18/22 185,000 182,466 
  4,023,375 
TOTAL REAL ESTATE  60,543,022 
UTILITIES - 3.5%   
Electric Utilities - 1.8%   
Cleco Corporate Holdings LLC 3.743% 5/1/26 2,893,000 3,109,059 
Duke Energy Corp. 1.8% 9/1/21 1,354,000 1,366,943 
Edison International 2.95% 3/15/23 730,000 753,671 
Eversource Energy:   
2.5% 3/15/21 4,386,000 4,404,946 
2.75% 3/15/22 3,489,000 3,586,615 
Exelon Corp. 3.497% 6/1/22 (a) 10,287,000 10,726,484 
FirstEnergy Corp.:   
1.6% 1/15/26 606,000 589,465 
2.05% 3/1/25 3,271,000 3,273,884 
4.25% 3/15/23 600,000 633,111 
Florida Power & Light Co.:   
3 month U.S. LIBOR + 0.380% 0.6023% 7/28/23 (a)(b) 7,557,000 7,560,003 
2.85% 4/1/25 1,508,000 1,643,075 
IPALCO Enterprises, Inc. 3.7% 9/1/24 1,115,000 1,212,228 
ITC Holdings Corp. 2.7% 11/15/22 3,503,000 3,643,149 
NextEra Energy Capital Holdings, Inc. 2.75% 5/1/25 12,257,000 13,280,460 
Southern Co. 2.35% 7/1/21 5,250,000 5,303,222 
Virginia Electric & Power Co. 2.75% 3/15/23 10,000,000 10,481,270 
Xcel Energy, Inc. 2.4% 3/15/21 1,050,000 1,054,326 
  72,621,911 
Gas Utilities - 0.1%   
Dominion Gas Holdings LLC 2.5% 11/15/24 1,156,000 1,232,539 
Southern California Gas Co. 3 month U.S. LIBOR + 0.350% 0.5774% 9/14/23 (a)(b) 2,106,000 2,106,626 
  3,339,165 
Independent Power and Renewable Electricity Producers - 0.1%   
Emera U.S. Finance LP 2.7% 6/15/21 548,000 553,336 
The AES Corp. 3.3% 7/15/25 (c) 4,133,000 4,508,111 
  5,061,447 
Multi-Utilities - 1.5%   
Berkshire Hathaway Energy Co.:   
2.375% 1/15/21 5,420,000 5,433,882 
2.8% 1/15/23 5,944,000 6,239,740 
CenterPoint Energy, Inc. 2.5% 9/1/22 1,229,000 1,270,546 
Dominion Energy, Inc.:   
3 month U.S. LIBOR + 0.530% 0.7761% 9/15/23 (a)(b) 5,410,000 5,418,688 
2% 8/15/21 1,458,000 1,472,620 
2.715% 8/15/21 3,913,000 3,972,681 
3.071% 8/15/24 (a) 5,000,000 5,409,261 
DTE Energy Co.:   
0.55% 11/1/22 10,000,000 10,021,329 
2.25% 11/1/22 5,500,000 5,697,558 
NiSource, Inc.:   
0.95% 8/15/25 2,873,000 2,871,535 
2.95% 9/1/29 3,000,000 3,296,363 
Public Service Enterprise Group, Inc.:   
2% 11/15/21 1,782,000 1,808,214 
2.65% 11/15/22 3,830,000 3,991,985 
Sempra Energy 2.9% 2/1/23 1,017,000 1,066,099 
WEC Energy Group, Inc. 3 month U.S. LIBOR + 2.110% 2.3335% 5/15/67 (a)(b) 454,000 383,188 
  58,353,689 
TOTAL UTILITIES  139,376,212 
TOTAL NONCONVERTIBLE BONDS   
(Cost $2,277,189,365)  2,349,088,697 
U.S. Government and Government Agency Obligations - 12.9%   
U.S. Government Agency Obligations - 0.4%   
Freddie Mac 0.25% 8/24/23 14,087,000 14,087,135 
U.S. Treasury Obligations - 12.5%   
U.S. Treasury Notes:   
0.25% 7/31/25 $25,000,000 $24,898,438 
0.375% 4/30/25 135,855,000 136,205,240 
0.5% 10/31/27 101,580,000 100,786,406 
0.625% 11/30/27 73,456,000 73,478,955 
0.875% 11/15/30 14,780,000 14,814,641 
1.5% 1/31/27 13,045,000 13,821,585 
1.625% 9/30/26 47,581,000 50,714,655 
2.75% 6/30/25 34,406,000 38,185,284 
2.875% 11/30/25 (d) 38,171,000 42,896,152 
TOTAL U.S. TREASURY OBLIGATIONS  495,801,356 
TOTAL U.S. GOVERNMENT AND GOVERNMENT AGENCY OBLIGATIONS   
(Cost $500,666,604)  509,888,491 
U.S. Government Agency - Mortgage Securities - 1.3%   
Fannie Mae - 0.9%   
3% 12/1/31 to 3/1/50 20,664,189 22,077,632 
3.5% 9/1/29 to 10/1/29 1,026,321 1,114,829 
4.5% to 4.5% 3/1/35 to 9/1/49 10,786,509 11,920,314 
6.5% 7/1/32 to 8/1/36 180,849 211,161 
7% 8/1/28 to 6/1/33 143,555 168,378 
7.5% to 7.5% 6/1/26 to 2/1/28 34,657 39,182 
8.5% 9/1/25 1,376 1,516 
TOTAL FANNIE MAE  35,533,012 
Freddie Mac - 0.4%   
2% 1/1/32 16,896,836 17,663,029 
8.5% 12/1/26 to 8/1/27 14,014 15,774 
TOTAL FREDDIE MAC  17,678,803 
Ginnie Mae - 0.0%   
7% to 7% 7/15/28 to 11/15/28 25,769 29,123 
7.5% 2/15/28 to 10/15/28 2,456 2,817 
8% 6/15/24 19 21 
8.5% 10/15/21 1,274 1,281 
TOTAL GINNIE MAE  33,242 
TOTAL U.S. GOVERNMENT AGENCY - MORTGAGE SECURITIES   
(Cost $52,465,644)  53,245,057 
Asset-Backed Securities - 7.8%   
AASET Trust Series 2019-2 Class A, 3.376% 10/16/39 (c) $2,762,670 $2,609,678 
Ally Master Owner Trust:   
Series 2018-1 Class A1, 2.7% 1/17/23 5,500,000 5,515,950 
Series 2018-2 Class A, 3.29% 5/15/23 6,070,000 6,153,731 
American Credit Acceptance Receivables Trust Series 2019-3 Class A, 2.44% 12/12/22 (c) 206,798 206,958 
AmeriCredit Automobile Receivables Trust Series 2019-3 Class A2A, 2.17% 1/18/23 1,674,325 1,683,632 
Apollo Aviation Securitization Equity Trust Series 2020-1A Class A, 3.351% 1/16/40 (c) 1,332,603 1,244,063 
Bank of The West Auto Trust Series 2018-1 Class A3, 3.43% 12/15/22 (c) 1,068,718 1,078,498 
Bear Stearns Asset Backed Securities I Trust Series 2005-HE2 Class M2, 1 month U.S. LIBOR + 1.120% 1.2743% 2/25/35 (a)(b) 169,367 165,653 
Canadian Pacer Auto Receivables Trust Series 2019-1A Class A2, 2.78% 3/21/22 (c) 637,578 639,282 
Capital One Multi-Asset Execution Trust Series 2019-A1 Class A1, 2.84% 12/15/24 6,392,000 6,593,489 
CarMax Auto Owner Trust:   
Series 2019-1 Class A3, 3.05% 3/15/24 3,879,078 3,963,704 
Series 2020-4 Class A3, 0.5% 8/15/25 5,979,000 5,994,834 
Chesapeake Funding II LLC:   
Series 2017-2A Class A1, 1.99% 5/15/29 (c) 253,778 254,165 
Series 2018-1A Class A1, 3.04% 4/15/30 (c) 1,773,499 1,803,860 
Series 2018-3A Class A1, 3.39% 1/15/31 (c) 2,964,568 3,054,054 
Series 2019-1A Class A1, 2.94% 4/15/31 (c) 3,017,913 3,076,917 
Series 2020-1A Class A1, 0.87% 8/16/32 (c) 4,898,750 4,908,195 
Consumer Lending Receivables Trust Series 2019-A Class A, 3.52% 4/15/26 (c) 661,353 664,160 
Consumer Loan Underlying Bond (CLUB) Credit Trust Series 2020-P1 Class A, 2.26% 3/15/28 (c) 3,680,211 3,708,884 
Consumer Loan Underlying Bond Credit Trust:   
Series 2018-P2 Class A, 3.47% 10/15/25 (c) 135,995 136,150 
Series 2018-P3 Class A, 3.82% 1/15/26 (c) 817,061 821,216 
Series 2019-HP1 Class A, 2.59% 12/15/26 (c) 6,705,580 6,783,433 
Series 2019-P1 Class A, 2.94% 7/15/26 (c) 557,101 560,977 
Series 2019-P2 Class A, 2.47% 10/15/26 (c) 2,250,196 2,264,531 
Dell Equipment Finance Trust:   
Series 2018-1 Class A3, 3.18% 6/22/23 (c) 386,823 388,056 
Series 2018-2 Class A3, 3.37% 10/22/23 (c) 1,117,854 1,126,328 
Series 2019-2:   
Class A2, 1.95% 12/22/21 (c) 3,483,243 3,505,539 
Class A3, 1.91% 10/22/24 (c) 2,190,000 2,228,556 
Series 2020-2:   
Class A2, 0.47% 10/24/22 (c) 3,665,000 3,671,268 
Class A3, 0.57% 10/23/23 (c) 4,476,000 4,487,654 
DLL Securitization Trust:   
Series 2018-ST2 Class A3, 3.46% 1/20/22 (c) 1,119,389 1,126,809 
Series 2019-MT3:   
Class A2, 2.13% 1/20/22 (c) 2,891,551 2,903,557 
Class A3, 2.08% 2/21/23 (c) 2,099,000 2,129,549 
DT Auto Owner Trust Series 2019-4A Class A, 2.17% 5/15/23 (c) 2,133,258 2,143,766 
Enterprise Fleet Financing LLC:   
Series 2019-1 Class A2, 2.98% 10/20/24 (c) 1,873,461 1,906,634 
Series 2020-1 Class A2, 1.78% 12/22/25 (c) 6,853,895 6,960,312 
Series 2020-2 Class A2, 0.61% 7/20/26 (c) 9,300,000 9,305,103 
Ford Credit Auto Lease Trust Series 2020-A Class A3, 1.85% 3/15/23 6,991,000 7,093,640 
Ford Credit Auto Owner Trust:   
Series 2016-1 Class A, 2.31% 8/15/27 (c) 9,128,000 9,166,071 
Series 2019-1 Class A, 3.52% 7/15/30 (c) 4,783,000 5,218,189 
Series 2020-2 Class A, 1.06% 4/15/33 (c) 14,774,000 14,850,515 
Ford Credit Floorplan Master Owner Trust Series 2020-1 Class A1, 0.7% 9/15/25 7,656,000 7,693,316 
GM Financial Automobile Leasing Trust Series 2020-3 Class A3, 0.45% 8/21/23 4,764,000 4,773,133 
GM Financial Consumer Automobile Receivables Trust Series 2020-4 Class A3, 0.38% 8/18/25 6,963,000 6,968,845 
GMF Floorplan Owner Revolving Trust:   
Series 2020-1 Class A, 0.68% 8/15/25 (c) 3,438,000 3,449,882 
Series 2020-2 Class A, 0.69% 10/15/25 (c) 7,860,000 7,867,703 
Horizon Aircraft Finance Ltd. Series 2019-1 Class A, 3.721% 7/15/39 (c) 1,246,345 1,187,301 
HPEFS Equipment Trust:   
Series 2020-1A Class A2, 1.73% 2/20/30 (c) 4,763,553 4,796,145 
Series 2020-2A Class A2, 0.65% 7/22/30 (c) 7,820,000 7,834,841 
Hyundai Auto Lease Securitization Trust Series 2020-A Class A3, 1.95% 7/17/23 (c) 3,523,000 3,584,158 
Hyundai Auto Receivables Trust Series 2019-B Class A3, 1.94% 2/15/24 3,964,000 4,040,929 
Kubota Credit Owner Trust Series 2018-1A Class A3, 3.1% 8/15/22 (c) 2,673,039 2,706,925 
Lanark Master Issuer PLC Series 2020-1A Class 1A, 2.277% 12/22/69 (a)(c) 2,311,000 2,366,187 
Marlette Funding Trust:   
Series 2019-4A Class A, 2.39% 12/17/29 (c) 824,711 831,514 
Series 2020-1A Class A, 2.24% 3/15/30 (c) 523,009 526,474 
Mercedes-Benz Auto Lease Trust:   
Series 2019-B Class A3, 2% 10/17/22 3,073,000 3,114,085 
Series 2020-B Class A3, 0.4% 11/15/23 3,679,000 3,683,897 
Metlife Securitization Trust Series 2019-1A Class A1A, 3.75% 4/25/58 (c) 1,000,781 1,071,880 
MMAF Equipment Finance LLC Series 2019-B Class A3, 2.01% 12/12/24 (c) 4,116,000 4,238,135 
Mortgage Repurchase Agreement Financing Trust Series 2020-5 Class A1, 1 month U.S. LIBOR + 1.000% 1% 8/10/23 (a)(b)(c) 7,218,000 7,218,094 
Nationstar HECM Loan Trust Series 2020-1A Class A1, 1.2686% 9/25/30 (c) 4,517,918 4,512,045 
New Century Home Equity Loan Trust Series 2005-4 Class M2, 1 month U.S. LIBOR + 0.510% 0.6601% 9/25/35 (a)(b) 19,823 19,798 
Park Place Securities, Inc. Series 2005-WCH1 Class M4, 1 month U.S. LIBOR + 1.240% 1.3943% 1/25/36 (a)(b) 114,851 114,781 
Prosper Marketplace Issuance Trust Series 2019-4A Class A, 2.48% 2/17/26 (c) 293,959 295,092 
Provident Funding Mortgage Trust Series 2020-1 Class A3, 3% 2/25/50 (c) 1,931,871 1,958,751 
Santander Retail Auto Lease Trust Series 2020-B Class A3, 0.57% 4/22/24 (c) 8,691,000 8,713,804 
Sapphire Aviation Finance Series 2020-1A Class A, 3.228% 3/15/40 (c) 2,519,748 2,337,967 
SBA Tower Trust:   
Series 2019, 2.836% 1/15/50 (c) 2,797,000 2,970,386 
1.884% 7/15/50 (c) 1,204,000 1,239,606 
3.168% 4/9/47 (c) 7,000,000 7,076,675 
SoFi Consumer Loan Program Trust Series 2019-4 Class A, 2.45% 8/25/28 (c) 2,185,891 2,209,713 
Terwin Mortgage Trust Series 2003-4HE Class A1, 1 month U.S. LIBOR + 0.860% 1.0101% 9/25/34 (a)(b) 2,132 1,960 
Tesla Series 2020-A:   
Class A2, 0.55% 5/22/23 (c) 3,154,000 3,159,521 
Class A3, 0.68% 12/20/23 (c) 3,588,000 3,607,343 
Tesla Auto Lease Trust Series 2019-A Class A2, 2.13% 4/20/22 (c) 5,017,583 5,063,283 
Towd Point Mortgage Trust:   
Series 2018-3 Class A1, 3.75% 5/25/58 (c) 2,006,264 2,141,913 
Series 2020-4 Class A1, 1.75% 10/25/60 (c) 2,170,505 2,216,844 
Toyota Auto Loan Extended Note Trust Series 2020-1A Class A, 1.35% 5/25/33 (c) 3,961,000 4,068,128 
Trapeza CDO XII Ltd./Trapeza CDO XII, Inc. Series 2007-12A Class B, 3 month U.S. LIBOR + 0.560% 0.7935% 4/6/42 (a)(b)(c) 304,000 209,760 
Upgrade Receivables Trust Series 2019-2A Class A, 2.77% 10/15/25 (c) 479,222 480,197 
Verizon Owner Trust:   
Series 2017-3A Class A1A, 2.06% 4/20/22 (c) 36,630 36,668 
Series 2020-A Class A1A, 1.85% 7/22/24 6,472,000 6,630,607 
Volvo Financial Equipment LLC:   
Series 2019-1A Class A3, 3% 3/15/23 (c) 2,587,000 2,629,967 
Series 2019-2A Class A3, 2.04% 11/15/23 (c) 3,127,000 3,189,410 
Wheels SPV LLC Series 2018-1A Class A2, 3.06% 4/20/27 (c) 528,146 530,531 
World Omni Auto Receivables Trust:   
Series 2020-A Class A2A, 1.02% 6/15/23 3,990,612 4,005,138 
Series 2020-C Class A2, 0.35% 12/15/23 11,990,000 11,998,889 
World Omni Automobile Lease Securitization Trust:   
Series 2019-A Class A3, 2.94% 5/16/22 2,614,000 2,644,150 
Series 2020-B Class A3, 0.45% 2/15/24 4,956,000 4,963,539 
TOTAL ASSET-BACKED SECURITIES   
(Cost $306,291,262)  309,077,470 
Collateralized Mortgage Obligations - 2.7%   
Private Sponsor - 1.3%   
BRAVO Residential Funding Trust sequential payer Series 2020-RPL2 Class A1, 2% 5/25/59 (c) 5,939,837 6,053,693 
CSAIL Commercial Mortgage Trust Series 2015-C2 Class ASB, 3.2241% 6/15/57 1,141,159 1,200,373 
CSMC Trust sequential payer Series 2020-RPL4 Class A1, 2% 1/25/60 (c) 1,839,609 1,895,028 
Gosforth Funding PLC floater Series 2018-1A Class A1, 3 month U.S. LIBOR + 0.450% 0.6565% 8/25/60 (a)(b)(c) 1,108,324 1,108,353 
Holmes Master Issuer PLC floater Series 2018-2A Class A2, 3 month U.S. LIBOR + 0.420% 0.6569% 10/15/54 (a)(b)(c) 962,882 963,016 
Lanark Master Issuer PLC:   
floater Series 2019-1A Class 1A1, 3 month U.S. LIBOR + 0.770% 1.0261% 12/22/69 (a)(b)(c) 1,072,233 1,075,522 
Series 2019-2A Class 1A, 2.71% 12/22/69 (a)(c) 5,532,000 5,655,325 
Mortgage Repurchase Agreement Financing Trust:   
floater Series 2020-3 Class A1, 1 month U.S. LIBOR + 1.250% 1.3778% 1/23/23 (a)(b)(c) 1,563,000 1,563,597 
Series 2020-4 Class A1, 1 month U.S. LIBOR + 1.350% 1.4778% 4/23/23 (a)(b)(c) 7,422,000 7,423,064 
Nationstar HECM Loan Trust sequential payer Series 2019-2A Class A, 2.2722% 11/26/29 (c) 864,261 866,493 
New Residential Mortgage Loan Trust Series 2019-5A Class A1B, 3.5% 8/25/59 (c) 2,587,802 2,696,840 
Oceanview Mortgage Loan Trust sequential payer Series 2020-1 Class A1A, 1.7329% 5/28/50 (c) 7,624,577 7,637,091 
Permanent Master Issuer PLC floater Series-1A Class 1A1, 3 month U.S. LIBOR + 0.550% 0.7869% 7/15/58 (a)(b)(c) 1,138,000 1,139,014 
Provident Funding Mortgage Trust sequential payer Series 2019-1 Class A3, 3% 12/25/49 (c) 531,110 538,008 
RMF Buyout Issuance Trust sequential payer Series 2020-2 Class A, 1.7063% 6/25/30 (c) 8,277,915 8,292,201 
Sequoia Mortgage Trust floater Series 2004-6 Class A3B, 6 month U.S. LIBOR + 0.880% 1.3048% 7/20/34 (a)(b) 950 915 
Silverstone Master Issuer PLC floater Series 2019-1A Class 1A, 3 month U.S. LIBOR + 0.570% 0.7786% 1/21/70 (a)(b)(c) 4,431,600 4,440,968 
TOTAL PRIVATE SPONSOR  52,549,501 
U.S. Government Agency - 1.4%   
Fannie Mae:   
planned amortization class:   
Series 2015-28 Class P, 2.5% 5/25/45 2,970,631 3,117,120 
Series 2019-33 Class N, 3% 3/25/48 13,394,757 14,039,201 
Series 2015-28 Class JE, 3% 5/25/45 2,123,747 2,257,355 
Series 2018-3 Class LP, 3% 2/25/47 10,426,423 11,028,054 
Series 2019-59 Class AB, 2.5% 10/25/39 4,209,282 4,383,096 
Freddie Mac:   
planned amortization class Series 2019-4903 Class DA, 3% 10/25/48 5,169,382 5,516,833 
sequential payer Series 4873 Class CA, 4% 7/15/47 5,763,378 6,126,752 
Series 3949 Class MK, 4.5% 10/15/34 83,788 92,574 
Series 4472 Class WL, 3% 5/15/45 959,728 1,020,290 
Freddie Mac Seasoned Credit Risk Transfer Trust sequential payer Series 2019-2 Class MA, 3.5% 8/25/58 4,764,346 5,123,386 
Ginnie Mae guaranteed REMIC pass-thru certificates Series 2015-H17 Class HA, 2.5% 5/20/65 (e) 106,282 106,307 
TOTAL U.S. GOVERNMENT AGENCY  52,810,968 
TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS   
(Cost $103,192,893)  105,360,469 
Commercial Mortgage Securities - 7.5%   
BAMLL Commercial Mortgage Securities Trust sequential payer Series 2019-BPR Class ANM, 3.112% 11/5/32 (c) 1,767,000 1,763,033 
Benchmark Mortgage Trust:   
sequential payer Series 2018-B2 Class A2, 3.6623% 2/15/51 5,621,000 5,867,703 
Series 2019-B14 Class XA, 0.914% 12/15/62 (a)(f) 24,844,124 1,259,664 
Series 2020-B17 Class XA, 1.5419% 3/15/53 (a)(f) 49,510,218 4,606,564 
BX Commercial Mortgage Trust floater sequential payer Series 2020-BXLP Class A, 1 month U.S. LIBOR + 0.800% 0.9409% 12/15/36 (a)(b)(c) 3,054,205 3,050,536 
BX Trust floater, sequential payer:   
Series 2019-IMC Class A, 1 month U.S. LIBOR + 1.000% 1.1409% 4/15/34 (a)(b)(c) 614,000 594,798 
Series 2019-XL Class A, 1 month U.S. LIBOR + 0.920% 1.0609% 10/15/36 (a)(b)(c) 6,310,932 6,310,931 
CF Hippolyta Issuer LLC sequential payer Series 2020-1 Class A1, 1.69% 7/15/60 (c) 7,149,999 7,238,262 
CGDB Commercial Mortgage Trust floater Series 2019-MOB Class A, 1 month U.S. LIBOR + 0.950% 1.0909% 11/15/36 (a)(b)(c) 1,313,000 1,303,954 
CGDBB Commercial Mortgage Trust floater Series 2017-BIOC Class A, 1 month U.S. LIBOR + 0.790% 0.9309% 7/15/32 (a)(b)(c) 4,733,068 4,731,640 
CGMS Commercial Mortgage Trust Series 2017-MDRA Class A, 3.656% 7/10/30 (c) 10,000,000 10,227,235 
CHC Commercial Mortgage Trust floater Series 2019-CHC Class A, 1 month U.S. LIBOR + 1.120% 1.2609% 6/15/34 (a)(b)(c) 4,641,969 4,441,034 
Citigroup Commercial Mortgage Trust:   
sequential payer:   
Series 2012-GC8:   
Class A/S, 3.683% 9/10/45 (c) 6,670,000 6,895,827 
Class A4, 3.024% 9/10/45 2,239,075 2,289,836 
Series 2014-GC21 Class AAB, 3.477% 5/10/47 1,245,090 1,300,609 
Series 2016-GC36 Class AAB, 3.368% 2/10/49 2,530,000 2,685,542 
Series 2017-P7 Class A2, 3.212% 4/14/50 2,399,000 2,448,123 
COMM Mortgage Trust:   
sequential payer:   
Series 2012-CR3 Class A3, 2.822% 10/15/45 1,281,023 1,315,317 
Series 2012-LC4 Class A4, 3.288% 12/10/44 5,477,693 5,555,266 
Series 2013-CR7:   
Class A4, 3.213% 3/10/46 2,666,224 2,788,637 
Class AM, 3.314% 3/10/46 (c) 1,343,000 1,408,048 
Series 2015-CR22 Class ASB, 3.144% 3/10/48 1,748,128 1,828,224 
Series 2015-CR23 Class ASB, 3.257% 5/10/48 1,407,556 1,477,418 
Series 2013-LC6 Class ASB, 2.478% 1/10/46 2,445,000 2,484,802 
Series 2015-CR22 Class A2, 2.856% 3/10/48 272,772 272,709 
Credit Suisse Mortgage Trust:   
floater Series 2019-ICE4 Class A, 1 month U.S. LIBOR + 0.980% 1.1209% 5/15/36 (a)(b)(c) 5,000,000 5,001,559 
sequential payer Series 2020-NET Class A, 2.2569% 8/15/37 (c) 2,198,000 2,267,275 
Series 2018-SITE Class A, 4.284% 4/15/36 (c) 1,635,000 1,622,369 
CSAIL Commercial Mortgage Trust sequential payer:   
Series 19-C15 Class A2, 3.4505% 3/15/52 3,304,000 3,517,821 
Series 2015-C3 Class A4, 3.7182% 8/15/48 3,143,000 3,476,049 
GS Mortgage Securities Trust:   
sequential payer:   
Series 2012-GC6:   
Class A/S, 4.948% 1/10/45 (c) 8,649,312 8,883,868 
Class A3, 3.482% 1/10/45 2,955,837 3,006,765 
Series 2012-GCJ7:   
Class A/S, 4.085% 5/10/45 4,142,000 4,268,382 
Class A4, 3.377% 5/10/45 1,654,973 1,676,623 
Series 2012-GCJ9 Class A3, 2.773% 11/10/45 4,664,080 4,776,589 
Series 2013-GC10 Class A5, 2.943% 2/10/46 5,531,000 5,731,084 
Series 2014-GC18 Class AAB, 3.648% 1/10/47 449,369 467,255 
Series 2014-GC20 Class AAB, 3.655% 4/10/47 532,577 558,025 
Series 2014-GC26 Class AAB, 3.365% 11/10/47 2,703,602 2,839,726 
Series 2015-GC28 Class AAB, 3.206% 2/10/48 1,857,177 1,952,883 
Series 2015-GC30 Class A4, 3.382% 5/10/50 3,541,000 3,860,382 
Series 2011-GC5 Class A/S, 5.209% 8/10/44 (c) 6,799,000 6,911,042 
Series 2012-GCJ9 Class A/S, 3.124% 11/10/45 4,022,000 4,155,641 
Series 2013-GC13 Class A/S, 4.22% 7/10/46 (a)(c) 9,739,000 10,389,394 
Series 2013-GC16 Class A/S, 4.649% 11/10/46 1,900,000 2,067,835 
Series 2015-GC32 Class A2, 3.062% 7/10/48 251,908 252,552 
JP Morgan Chase Commercial Mortgage Securities Trust Series 2015-JP1 Class A2, 3.1438% 1/15/49 384,333 384,319 
JPMBB Commercial Mortgage Securities sequential payer Series 2014-C25 Class ASB, 3.4074% 11/15/47 1,456,688 1,533,965 
JPMBB Commercial Mortgage Securities Trust:   
sequential payer:   
Series 2013-C17 Class ASB, 3.705% 1/15/47 553,748 579,647 
Series 2014-C22 Class A4, 3.8012% 9/15/47 4,450,000 4,876,181 
Series 2013-C17 Class A/S, 4.4584% 1/15/47 6,642,000 7,195,679 
JPMCC Commercial Mortgage Securities Trust sequential payer Series 2016-JP4 Class A2, 2.9838% 12/15/49 1,981,224 2,013,433 
JPMorgan Chase Commercial Mortgage Securities Corp.:   
Series 2012-C6 Class A/S, 4.1166% 5/15/45 2,097,000 2,166,987 
Series 2012-LC9 Class A/S, 3.3533% 12/15/47 (c) 5,520,000 5,645,739 
JPMorgan Chase Commercial Mortgage Securities Trust:   
floater Series 2019-BKWD Class A, 1 month U.S. LIBOR + 1.000% 1.1409% 9/15/29 (a)(b)(c) 2,478,000 2,434,506 
sequential payer:   
Series 2012-C8 Class A3, 2.8291% 10/15/45 2,440,750 2,509,314 
Series 2014-C20 Class A3A1, 3.4718% 7/15/47 2,128,685 2,144,424 
Series 2013-C10 Class A5, 3.1425% 12/15/47 4,758,068 4,969,186 
Series 2013-C13 Class A4, 3.9936% 1/15/46 (a) 3,198,140 3,428,965 
Series 2013-C16 Class A/S, 4.5169% 12/15/46 8,570,171 9,286,029 
Series 2018-WPT Class AFX, 4.2475% 7/5/33 (c) 2,708,000 2,854,343 
Merit floater Series 2020-HILL Class A, 1 month U.S. LIBOR + 1.150% 1.2909% 8/15/37 (a)(b)(c) 911,000 912,142 
Morgan Stanley BAML Trust:   
sequential payer:   
Series 2012-C6 Class A4, 2.858% 11/15/45 4,024,119 4,138,047 
Series 2013-C11 Class A4, 4.2973% 8/15/46 (a) 1,443,000 1,546,401 
Series 2014-C15 Class ASB, 3.654% 4/15/47 1,438,621 1,515,617 
Series 2014-C19 Class ASB, 3.326% 12/15/47 9,250,746 9,725,608 
Series 2016-C28 Class A3, 3.272% 1/15/49 1,852,193 2,008,313 
Series 2014-C17 Class ASB, 3.477% 8/15/47 2,827,843 2,962,632 
Series 2015-C22 Class ASB, 3.04% 4/15/48 1,047,302 1,092,975 
Morgan Stanley Capital I Trust:   
sequential payer Series 2019-MEAD Class A, 3.17% 11/10/36 (c) 3,837,000 3,964,208 
Series 2011-C3 Class AJ, 5.4191% 7/15/49 (a)(c) 2,820,000 2,871,814 
UBS-Barclays Commercial Mortgage Trust:   
floater Series 2013-C6 Class A3, 1 month U.S. LIBOR + 0.790% 0.9314% 4/10/46 (a)(b)(c) 3,491,858 3,489,616 
sequential payer Series 2012-C2 Class A4, 3.525% 5/10/63 2,703,000 2,783,873 
Series 2012-C2 Class ASEC, 4.179% 5/10/63 (c) 2,974,216 3,094,760 
Series 2012-C3 Class A/S, 3.814% 8/10/49 (c) 3,319,000 3,461,205 
Wells Fargo Commercial Mortgag Trust sequential payer Series 2015-NXS3 Class ASB, 3.371% 9/15/57 970,424 1,037,751 
Wells Fargo Commercial Mortgage Trust sequential payer:   
Series 2012-LC5 Class A3, 2.918% 10/15/45 4,105,866 4,226,098 
Series 2015-C27 Class ASB, 3.278% 2/15/48 2,639,526 2,769,395 
Series 2017-RC1 Class ASB, 3.453% 1/15/60 3,858,000 4,171,571 
Wells Fargo Commercial Mtg Trust 2016-C sequential payer Series 2016-C37 Class A1, 3.103% 12/15/49 2,128,000 2,155,654 
WF-RBS Commercial Mortgage Trust:   
sequential payer:   
Series 2012-C9 Class A3, 2.87% 11/15/45 3,875,867 3,970,854 
Series 2013-C11 Class A5, 3.071% 3/15/45 5,941,000 6,187,302 
Series 2013-C12 Class ASB, 2.838% 3/15/48 1,559,739 1,596,062 
Series 2013-C14 Class A5, 3.337% 6/15/46 7,196,000 7,603,597 
Series 2013-C16 Class ASB, 3.963% 9/15/46 651,308 679,761 
Series 2014-C22 Class ASB, 3.464% 9/15/57 4,233,132 4,433,309 
Series 2013-C11 Class ASB, 2.63% 3/15/45 587,361 599,463 
Series 2013-C12 Class A4, 3.198% 3/15/48 1,464,000 1,531,322 
TOTAL COMMERCIAL MORTGAGE SECURITIES   
(Cost $296,425,515)  298,380,898 
Municipal Securities - 0.4%   
California Gen. Oblig. Series 2019, 2.4% 10/1/25 4,420,000 4,790,484 
Illinois Gen. Oblig. Series 2003, 4.95% 6/1/23 1,875,545 1,911,725 
New York City Transitional Fin. Auth. Rev. Series 2017 E, 2.85% 2/1/24 1,320,000 1,402,579 
New York Urban Dev. Corp. Rev. Series 2017 D, 2.7% 3/15/23 6,100,000 6,342,780 
TOTAL MUNICIPAL SECURITIES   
(Cost $13,777,475)  14,447,568 
Foreign Government and Government Agency Obligations - 0.1%   
United Mexican States 3.25% 4/16/30
(Cost $3,507,613) 
$3,525,000 $3,748,838 
Bank Notes - 1.9%   
BBVA U.S.A.:   
2.875% 6/29/22 $8,287,000 $8,590,754 
3.5% 6/11/21 3,000,000 3,041,945 
CIT Bank NA 2.969% 9/27/25 (a) 6,655,000 6,925,126 
Citibank NA:   
2.844% 5/20/22 (a) 5,000,000 5,059,472 
3.65% 1/23/24 5,000,000 5,464,044 
Discover Bank:   
3.2% 8/9/21 2,000,000 2,034,574 
3.35% 2/6/23 7,557,000 7,991,371 
Fifth Third Bank, Cincinnati 2.875% 10/1/21 2,000,000 2,038,511 
First Republic Bank 1.912% 2/12/24 (a) 2,692,000 2,772,473 
KeyBank NA 3.3% 2/1/22 1,378,000 1,426,051 
RBS Citizens NA:   
2.25% 4/28/25 4,046,000 4,294,518 
2.65% 5/26/22 3,000,000 3,092,658 
Truist Bank:   
1.5% 3/10/25 7,000,000 7,227,176 
2.8% 5/17/22 5,000,000 5,172,166 
3.502% 8/2/22 (a) 3,790,000 3,869,249 
Wells Fargo Bank NA 2.897% 5/27/22 (a) 5,000,000 5,061,587 
TOTAL BANK NOTES   
(Cost $71,623,663)  74,061,675 
Commercial Paper - 0.2%   
TransCanada PipeLines Ltd. 0.29% 1/15/21   
(Cost $8,996,738) 9,000,000 8,997,574 
TOTAL COMMERCIAL PAPER   
(Cost $8,996,738)  8,997,574 
 Shares Value 
Fixed-Income Funds - 0.4%   
Fidelity Specialized High Income Central Fund (g)   
(Cost $15,736,625) 172,350 17,226,365 
Money Market Funds - 5.0%   
Fidelity Cash Central Fund 0.09% (h)   
(Cost $196,489,414) 196,450,124 196,489,414 
TOTAL INVESTMENT IN SECURITIES - 99.5%   
(Cost $3,846,362,811)  3,940,012,516 
NET OTHER ASSETS (LIABILITIES) - 0.5%  19,754,560 
NET ASSETS - 100%  $3,959,767,076 

Futures Contracts      
 Number of contracts Expiration Date Notional Amount Value Unrealized Appreciation/(Depreciation) 
Purchased      
Treasury Contracts      
CBOT 2-Year U.S. Treasury Note Contracts (United States) 48 March 2021 $10,600,875 $5,906 $5,906 
CBOT 5-Year U.S. Treasury Note Contracts (United States) 918 March 2021 115,696,688 151,433 151,433 
TOTAL FUTURES CONTRACTS     $157,339 

The notional amount of futures purchased as a percentage of Net Assets is 3.2%

Legend

 (a) Coupon rates for floating and adjustable rate securities reflect the rates in effect at period end.

 (b) Coupon is indexed to a floating interest rate which may be multiplied by a specified factor and/or subject to caps or floors.

 (c) Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At the end of the period, the value of these securities amounted to $835,180,688 or 21.1% of net assets.

 (d) Security or a portion of the security was pledged to cover margin requirements for futures contracts. At period end, the value of securities pledged amounted to $578,751.

 (e) Represents an investment in an underlying pool of reverse mortgages which typically do not require regular principal and interest payments as repayment is deferred until a maturity event.

 (f) Security represents right to receive monthly interest payments on an underlying pool of mortgages or assets. Principal shown is the outstanding par amount of the pool as of the end of the period.

 (g) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. A complete unaudited schedule of portfolio holdings for each Fidelity Central Fund is filed with the SEC for the first and third quarters of each fiscal year on Form N-PORT and is available upon request or at the SEC's website at www.sec.gov. An unaudited holdings listing for the Fund, which presents direct holdings as well as the pro-rata share of securities and other investments held indirectly through its investment in underlying non-money market Fidelity Central Funds, is available at fidelity.com and/or institutional.fidelity.com, as applicable. In addition, each Fidelity Central Fund's financial statements are available on the SEC's website or upon request.

 (h) Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request. In addition, each Fidelity Central Fund's financial statements are available on the SEC's website or upon request.

Affiliated Central Funds

Information regarding fiscal year to date income earned by the Fund from investments in Fidelity Central Funds is as follows:

Fund Income earned 
Fidelity Cash Central Fund $59,848 
Fidelity Specialized High Income Central Fund 328,850 
Total $388,698 

Amounts in the income column in the above table include any capital gain distributions from underlying funds.

Fiscal year to date information regarding the Fund’s investments in non-Money Market Central Funds, including the ownership percentage, is presented below.

Fund Value, beginning of period Purchases Sales Proceeds Realized Gain/Loss Change in Unrealized appreciation (depreciation) Value, end of period % ownership, end of period 
Fidelity Specialized High Income Central Fund $16,901,423 $331,099 $-- $-- $(6,157) $17,226,365 3.2% 
Total $16,901,423 $331,099 $-- $-- $(6,157) $17,226,365  

Investment Valuation

Investments are valued as of 4:00 p.m. Eastern time on the last calendar day of the period. Security transactions are accounted for as of trade date. The Board of Trustees (the Board) has delegated the day to day responsibility for the valuation of the Fund's investments to the Fair Value Committee (the Committee) established by the Fund's investment adviser. In accordance with valuation policies and procedures approved by the Board, the Fund attempts to obtain prices from one or more third party pricing vendors or brokers to value its investments. When current market prices, quotations or currency exchange rates are not readily available or reliable, investments will be fair valued in good faith by the Committee, in accordance with procedures adopted by the Board. Factors used in determining fair value vary by investment type and may include market or investment specific events, changes in interest rates and credit quality. The frequency with which these procedures are used cannot be predicted and they may be utilized to a significant extent. The Committee oversees the Fund’s valuation policies and procedures and reports to the Board on the Committee's activities and fair value determinations. The Board monitors the appropriateness of the procedures used in valuing the Fund's investments and ratifies the fair value determinations of the Committee. The Fund categorizes the inputs to valuation techniques used to value its investments into a disclosure hierarchy consisting of three levels: Level 1 - quoted prices in active markets for identical investments: Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds etc.): Level 3 - unobservable inputs (including the Fund's own assumptions based on the best information available). Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. Valuation techniques used to value the Fund's investments by major category are as follows:

Debt securities, including restricted securities, are valued based on evaluated prices received from third party pricing vendors or from brokers who make markets in such securities. Corporate bonds, bank notes, foreign government and government agency obligations, municipal securities, U.S. government and government agency obligations and commercial paper are valued by pricing vendors who utilize matrix pricing which considers yield or price of bonds of comparable quality, coupon, maturity and type or by broker supplied prices. Asset backed securities, collateralized mortgage obligations, commercial mortgage securities and U.S. government agency mortgage securities are valued by pricing vendors who utilize matrix pricing which considers prepayment speed assumptions, attributes of the collateral, yield or price of bonds of comparable quality, coupon, maturity and type or by broker supplied prices.

When independent prices are unavailable or unreliable, debt securities and swaps may be valued utilizing pricing methodologies which consider similar factors that would be used by third party pricing vendors. For foreign debt securities, when significant market or security specific market events arise, valuations may be determined in good faith in accordance with procedures adopted by the Board. Debt securities and swaps are generally categorized as Level 2 in the hierarchy but may be Level 3 depending on the circumstances.

Futures contracts are valued at the settlement price established each day by the board of trade or exchange on which they are traded and are categorized as Level 1 in the hierarchy.

Investments in open-end mutual funds, including the Fidelity Central Funds, are valued at their closing net asset value each business day and are categorized as Level 1 in the hierarchy.

Credit Risk.

The Fund invests a portion of its assets in structured securities of issuers backed by commercial and residential mortgage loans, credit card receivables and automotive loans. The value and related income of these securities is sensitive to changes in economic conditions, including delinquencies and/or defaults.

For additional information on the Fund's significant accounting policies, please refer to the Fund's most recent semiannual or annual shareholder report.





The fund's schedule of investments as of the date on the cover of this report has not been audited. This report is provided for the general information of the fund's shareholders. For more information regarding the fund and its holdings, please see the fund's most recent prospectus and annual report.

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