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Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Common Stocks: | ||||||||
Communication Services: | ||||||||
18,471 | ACTIVISION BLIZZARD, INC. | $462,604 | 1,098,655 | |||||
5,787 | ALPHABET, INC., CLASS A(b) | 2,477,356 | 6,724,205 | |||||
4,279 | ALPHABET, INC., CLASS C(b) | 1,763,252 | 4,975,664 | |||||
2,000 | ALTICE U.S.A., INC., CLASS A(b) | 43,775 | 44,580 | |||||
10,315 | AMC NETWORKS, INC., CLASS A(b) | 390,292 | 250,758 | |||||
152,447 | AT&T, INC. | 4,129,526 | 4,443,830 | |||||
300 | CABLE ONE, INC. | 113,966 | 493,203 | |||||
66,413 | CENTURYLINK, INC. | 652,342 | 628,267 | |||||
690 | CHARTER COMMUNICATIONS, INC., CLASS A(b) | 138,385 | 301,054 | |||||
3,700 | CINEMARK HOLDINGS, INC. | 43,054 | 37,703 | |||||
57,795 | COMCAST CORP., CLASS A | 632,884 | 1,986,992 | |||||
99,420 | DISCOVERY, INC., CLASS A(b) | 2,523,687 | 1,932,725 | |||||
385 | DISH NETWORK CORP., CLASS A(b) | 4,926 | 7,696 | |||||
11,266 | ELECTRONIC ARTS, INC.(b) | 280,102 | 1,128,515 | |||||
31,804 | FACEBOOK, INC., CLASS A(b) | 1,885,863 | 5,304,907 | |||||
1,360 | GCI LIBERTY, INC., CLASS A(b) | 51,149 | 77,479 | |||||
300 | IAC/INTERACTIVECORP(b) | 37,278 | 53,769 | |||||
15,600 | INTERPUBLIC GROUP OF (THE) COS., INC. | 40,950 | 252,564 | |||||
5,832 | LIBERTY GLOBAL PLC, CLASS A(b)(c) | 42,377 | 96,286 | |||||
7,374 | LIBERTY GLOBAL PLC, CLASS C(b)(c) | 51,974 | 115,845 | |||||
1,800 | LIBERTY MEDIA CORP.-LIBERTY FORMULA ONE, CLASS C(b) | 45,464 | 49,014 | |||||
1,100 | MATCH GROUP, INC.(b) | 31,366 | 72,644 | |||||
4,111 | NETFLIX, INC.(b) | 1,369,837 | 1,543,680 | |||||
2,375 | NEWS CORP., CLASS A | 7,170 | 21,316 | |||||
700 | NEXSTAR MEDIA GROUP, INC., CLASS A | 44,492 | 40,411 | |||||
5,434 | OMNICOM GROUP, INC. | 271,408 | 298,327 | |||||
1,200 | SPOTIFY TECHNOLOGY S.A.(b)(c) | 149,087 | 145,728 | |||||
9,840 | SPRINT CORP.(b) | 21,187 | 84,821 | |||||
1,544 | TEGNA, INC. | 7,743 | 16,768 | |||||
26,727 | T-MOBILE U.S., INC.(b) | 1,937,915 | 2,242,395 | |||||
8,700 | TWITTER, INC.(b) | 197,336 | 213,672 | |||||
51,083 | VERIZON COMMUNICATIONS, INC. | 2,028,534 | 2,744,690 | |||||
1 | VIACOMCBS, INC., CLASS B | 49 | 14 | |||||
27,007 | WALT DISNEY (THE) CO. | 679,844 | 2,608,876 | |||||
22,557,174 | 40,037,053 | 9.54% | ||||||
Consumer Discretionary: | ||||||||
1,500 | ADVANCE AUTO PARTS, INC. | 53,557 | 139,980 | |||||
5,281 | AMAZON.COM, INC.(b) | 4,484,503 | 10,296,471 | |||||
2,400 | ARAMARK | 47,393 | 47,928 | |||||
1,100 | AUTOLIV, INC.(c) | 13,982 | 50,611 | |||||
13,006 | AUTONATION, INC.(b) | 343,345 | 364,948 | |||||
1,662 | AUTOZONE, INC.(b) | 1,304,598 | 1,406,052 | |||||
53,291 | BEST BUY CO., INC. | 2,951,617 | 3,037,587 | |||||
1,400 | BIG LOTS, INC. | 15,477 | 19,908 | |||||
555 | BOOKING HOLDINGS, INC.(b) | 661,638 | 746,653 | |||||
4,400 | BORGWARNER, INC. | 51,799 | 107,228 | |||||
831 | BURLINGTON STORES, INC.(b) | 85,265 | 131,680 | |||||
3,068 | CARMAX, INC.(b) | 33,093 | 165,150 | |||||
3,800 | CARNIVAL CORP. | 59,114 | 50,046 | |||||
4,600 | D.R. HORTON, INC. | 22,057 | 156,400 | |||||
2,326 | DARDEN RESTAURANTS, INC. | 108,803 | 126,674 | |||||
5,977 | DICK'S SPORTING GOODS, INC. | 173,600 | 127,071 | |||||
3,389 | DOLLAR GENERAL CORP. | 248,398 | 511,773 | |||||
5,224 | DOLLAR TREE, INC.(b) | 52,773 | 383,807 | |||||
1,100 | DOMINO'S PIZZA, INC. | 154,333 | 356,477 | |||||
72,891 | EBAY, INC. | 2,246,259 | 2,191,104 | |||||
1,200 | ETSY, INC.(b) | 49,559 | 46,128 | |||||
922 | EXPEDIA GROUP, INC. | 23,373 | 51,881 | |||||
1,391 | FLOOR & DECOR HOLDINGS, INC., CLASS A(b) | 42,485 | 44,637 | |||||
20,696 | FOOT LOCKER, INC. | 738,397 | 456,347 | |||||
22,163 | FORD MOTOR CO. | 72,511 | 107,047 | |||||
1,300 | FRONTDOOR, INC.(b) | 30,171 | 45,214 | |||||
18,795 | GAP (THE), INC. | 316,742 | 132,317 | |||||
5,273 | GARMIN LTD.(c) | 188,068 | 395,264 | |||||
3,833 | GENERAL MOTORS CO. | 117,673 | 79,650 |
1 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Consumer Discretionary (Cont'd): | ||||||||
15,000 | GENTEX CORP. | $106,860 | 332,400 | |||||
3,450 | GENUINE PARTS CO. | 102,424 | 232,289 | |||||
2,000 | HANESBRANDS, INC. | 10,096 | 15,740 | |||||
400 | HASBRO, INC. | 10,206 | 28,620 | |||||
1,600 | HILTON WORLDWIDE HOLDINGS, INC. | 115,613 | 109,184 | |||||
13,972 | HOME DEPOT (THE), INC. | 2,047,064 | 2,608,712 | |||||
7,200 | INTERNATIONAL GAME TECHNOLOGY PLC | 51,017 | 42,840 | |||||
9,297 | KOHL'S CORP. | 120,812 | 135,643 | |||||
971 | KONTOOR BRANDS, INC. | 5,113 | 18,614 | |||||
3,290 | L BRANDS, INC. | 38,158 | 38,032 | |||||
2,338 | LAS VEGAS SANDS CORP. | 14,654 | 99,295 | |||||
19,688 | LENNAR CORP., CLASS A | 826,491 | 752,082 | |||||
58 | LENNAR CORP., CLASS B | 652 | 1,677 | |||||
1,200 | LKQ CORP.(b) | 14,970 | 24,612 | |||||
4,767 | LULULEMON ATHLETICA, INC.(b)(c) | 606,562 | 903,585 | |||||
12,078 | MACY'S, INC. | 181,820 | 59,303 | |||||
3,038 | MARRIOTT INTERNATIONAL, INC., CLASS A | 63,603 | 227,273 | |||||
294 | MARRIOTT VACATIONS WORLDWIDE CORP. | 4,103 | 16,341 | |||||
10,620 | MCDONALD'S CORP. | 433,348 | 1,756,017 | |||||
6,600 | MGM RESORTS INTERNATIONAL | 54,921 | 77,880 | |||||
600 | MOHAWK INDUSTRIES, INC.(b) | 26,796 | 45,744 | |||||
600 | MURPHY U.S.A., INC.(b) | 4,392 | 50,616 | |||||
4,915 | NEWELL BRANDS, INC. | 52,223 | 65,271 | |||||
17,800 | NIKE, INC., CLASS B | 268,854 | 1,472,772 | |||||
4,300 | NORDSTROM, INC. | 45,233 | 65,962 | |||||
7,189 | NORWEGIAN CRUISE LINE HOLDINGS LTD.(b) | 354,599 | 78,791 | |||||
103 | NVR, INC.(b) | 133,164 | 264,618 | |||||
900 | O'REILLY AUTOMOTIVE, INC.(b) | 27,058 | 270,945 | |||||
900 | PLANET FITNESS, INC., CLASS A(b) | 45,306 | 43,830 | |||||
370 | POOL CORP. | 34,226 | 72,805 | |||||
22,302 | PULTEGROUP, INC. | 322,088 | 497,781 | |||||
20,045 | QURATE RETAIL, INC., CLASS A(b) | 77,825 | 122,375 | |||||
1,500 | RALPH LAUREN CORP. | 31,320 | 100,245 | |||||
4,543 | ROSS STORES, INC. | 175,795 | 395,105 | |||||
4,560 | ROYAL CARIBBEAN CRUISES LTD. | 97,679 | 146,695 | |||||
3,200 | SIX FLAGS ENTERTAINMENT CORP. | 48,149 | 40,128 | |||||
8,454 | SKECHERS U.S.A., INC., CLASS A(b) | 276,155 | 200,698 | |||||
36,969 | STARBUCKS CORP. | 1,239,447 | 2,430,342 | |||||
4,800 | TAPESTRY, INC. | 14,970 | 62,160 | |||||
22,005 | TARGET CORP. | 2,265,472 | 2,045,805 | |||||
1,203 | TESLA, INC.(b) | 484,298 | 630,372 | |||||
1,900 | THOR INDUSTRIES, INC. | 22,316 | 80,142 | |||||
1,400 | TIFFANY & CO. | 35,210 | 181,300 | |||||
20,188 | TJX (THE) COS., INC. | 86,033 | 965,188 | |||||
1,466 | TOPBUILD CORP.(b) | 11,809 | 105,024 | |||||
553 | ULTA BEAUTY, INC.(b) | 73,007 | 97,162 | |||||
8,340 | URBAN OUTFITTERS, INC.(b) | 174,368 | 118,762 | |||||
1,100 | VEONEER, INC.(b)(c) | 5,428 | 8,052 | |||||
6,800 | VF CORP. | 81,950 | 367,744 | |||||
3,000 | WENDY'S (THE) CO. | 43,280 | 44,640 | |||||
2,559 | WHIRLPOOL CORP. | 147,290 | 219,562 | |||||
2,107 | WILLIAMS-SONOMA, INC. | 92,334 | 89,590 | |||||
1,400 | WYNDHAM HOTELS & RESORTS, INC. | 46,408 | 44,114 | |||||
1,600 | WYNN RESORTS LTD. | 32,322 | 96,304 | |||||
900 | YUM CHINA HOLDINGS, INC.(c) | 40,023 | 38,367 | |||||
26,415,897 | 40,815,183 | 9.73% | ||||||
Consumer Staples: | ||||||||
8,800 | ALTRIA GROUP, INC. | 564,326 | 340,296 | |||||
10,300 | ARCHER-DANIELS-MIDLAND CO. | 188,618 | 362,354 | |||||
700 | BEYOND MEAT, INC.(b) | 51,107 | 46,620 | |||||
7,290 | BROWN-FORMAN CORP., CLASS B | 57,343 | 404,668 | |||||
10,068 | CHURCH & DWIGHT CO., INC. | 241,887 | 646,164 | |||||
3,772 | CLOROX (THE) CO. | 567,267 | 653,499 | |||||
56,139 | COCA-COLA (THE) CO. | 844,179 | 2,484,151 | |||||
1,280 | COLGATE-PALMOLIVE CO. | 36,019 | 84,941 | |||||
1,900 | CONAGRA BRANDS, INC. | 26,152 | 55,746 | |||||
1,600 | CONSTELLATION BRANDS, INC., CLASS A | 202,589 | 229,376 |
2 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Consumer Staples (Cont'd): | ||||||||
7,712 | COSTCO WHOLESALE CORP. | $631,991 | 2,198,923 | |||||
6,448 | ESTEE LAUDER (THE) COS., INC., CLASS A | 538,773 | 1,027,424 | |||||
2,796 | FLOWERS FOODS, INC. | 59,994 | 57,374 | |||||
22,764 | GENERAL MILLS, INC. | 832,581 | 1,201,256 | |||||
5,300 | HERBALIFE NUTRITION LTD.(b) | 36,401 | 154,548 | |||||
12,516 | HERSHEY (THE) CO. | 1,672,186 | 1,658,370 | |||||
4,800 | HORMEL FOODS CORP. | 43,206 | 223,872 | |||||
16,650 | INGREDION, INC. | 1,224,758 | 1,257,075 | |||||
13,592 | JM SMUCKER (THE) CO. | 1,399,653 | 1,508,712 | |||||
1,643 | KEURIG DR. PEPPER, INC. | - | 39,876 | |||||
3,533 | KIMBERLY-CLARK CORP. | 343,818 | 451,765 | |||||
3,714 | KRAFT HEINZ (THE) CO. | 26,692 | 91,884 | |||||
67,822 | KROGER (THE) CO. | 1,281,471 | 2,042,799 | |||||
633 | LAMB WESTON HOLDINGS, INC. | 7,452 | 36,144 | |||||
700 | MCCORMICK & CO., INC. (NON VOTING) | 21,613 | 98,847 | |||||
1,300 | MOLSON COORS BEVERAGE CO., CLASS B | 37,841 | 50,713 | |||||
6,969 | MONDELEZ INTERNATIONAL, INC., CLASS A | 94,887 | 349,007 | |||||
7,364 | MONSTER BEVERAGE CORP.(b) | 206,981 | 414,299 | |||||
232 | NU SKIN ENTERPRISES, INC., CLASS A | 8,194 | 5,069 | |||||
29,337 | PEPSICO, INC. | 2,522,685 | 3,523,374 | |||||
8,329 | PHILIP MORRIS INTERNATIONAL, INC. | 456,643 | 607,684 | |||||
29,290 | PILGRIM'S PRIDE CORP.(b) | 489,068 | 530,735 | |||||
700 | POST HOLDINGS, INC.(b) | 43,421 | 58,079 | |||||
37,696 | PROCTER & GAMBLE (THE) CO. | 1,193,744 | 4,146,560 | |||||
7,700 | SYSCO CORP. | 117,906 | 351,351 | |||||
23,537 | TYSON FOODS, INC., CLASS A | 1,394,110 | 1,362,086 | |||||
2,700 | US FOODS HOLDING CORP.(b) | 45,757 | 47,817 | |||||
27,978 | WALGREENS BOOTS ALLIANCE, INC. | 906,255 | 1,279,993 | |||||
15,004 | WALMART, INC. | 1,236,594 | 1,704,754 | |||||
19,654,162 | 31,788,205 | 7.58% | ||||||
Energy: | ||||||||
17,200 | ANTERO MIDSTREAM CORP. | 38,791 | 36,120 | |||||
7,500 | APACHE CORP. | 44,218 | 31,350 | |||||
6,200 | BAKER HUGHES CO. | 72,080 | 65,100 | |||||
20,075 | CABOT OIL & GAS CORP. | 334,981 | 345,089 | |||||
2,200 | CHENIERE ENERGY, INC.(b) | 73,298 | 73,700 | |||||
28,175 | CHEVRON CORP. | 1,278,870 | 2,041,561 | |||||
2,700 | CIMAREX ENERGY CO. | 45,271 | 45,441 | |||||
1,700 | CONCHO RESOURCES, INC. | 49,631 | 72,845 | |||||
23,044 | CONOCOPHILLIPS | 383,142 | 709,755 | |||||
2,000 | CONTINENTAL RESOURCES, INC. | 20,765 | 15,280 | |||||
9,794 | ENBRIDGE, INC.(c) | 137,797 | 284,907 | |||||
4,500 | EOG RESOURCES, INC. | 174,791 | 161,640 | |||||
16,551 | EXXON MOBIL CORP. | 628,157 | 628,441 | |||||
3,100 | HELMERICH & PAYNE, INC. | 39,003 | 48,515 | |||||
2,600 | HESS CORP. | 90,342 | 86,580 | |||||
18,112 | KINDER MORGAN, INC. | 209,947 | 252,119 | |||||
7,200 | NOBLE ENERGY, INC. | 44,105 | 43,488 | |||||
5,994 | OCCIDENTAL PETROLEUM CORP. | 53,941 | 69,411 | |||||
3,900 | ONEOK, INC. | 59,690 | 85,059 | |||||
6,900 | PBF ENERGY, INC., CLASS A | 45,787 | 48,852 | |||||
1,000 | PHILLIPS 66 | 50,510 | 53,650 | |||||
2,230 | PIONEER NATURAL RESOURCES CO. | 225,620 | 156,435 | |||||
9,633 | SCHLUMBERGER LTD. | 108,848 | 129,949 | |||||
23,559 | VALERO ENERGY CORP. | 1,036,930 | 1,068,636 | |||||
11,500 | WILLIAMS (THE) COS., INC. | 154,047 | 162,725 | |||||
5,400,562 | 6,716,648 | 1.60% | ||||||
Financials: | ||||||||
6,805 | AFLAC, INC. | 218,918 | 233,003 | |||||
500 | ALLEGHANY CORP. | 140,685 | 276,175 | |||||
16,433 | ALLSTATE (THE) CORP. | 920,850 | 1,507,399 | |||||
19,826 | ALLY FINANCIAL, INC. | 404,611 | 286,089 | |||||
3,633 | AMERICAN EXPRESS CO. | 111,938 | 311,021 | |||||
3,100 | AMERICAN FINANCIAL GROUP, INC. | 190,545 | 217,248 | |||||
5,500 | AMERICAN INTERNATIONAL GROUP, INC. | 129,086 | 133,375 | |||||
17,714 | AMERIPRISE FINANCIAL, INC. | 1,850,664 | 1,815,331 | |||||
13,600 | ANNALY CAPITAL MANAGEMENT, INC. | 80,993 | 68,952 |
3 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Financials (Cont'd): | ||||||||
848 | AON PLC(c) | $32,575 | 139,954 | |||||
22,433 | ARCH CAPITAL GROUP LTD.(b)(c) | 513,989 | 638,443 | |||||
2,300 | ARTHUR J. GALLAGHER & CO. | 80,002 | 187,473 | |||||
4,900 | ASSURANT, INC. | 218,575 | 510,041 | |||||
23,567 | ASSURED GUARANTY LTD.(c) | 785,244 | 607,793 | |||||
11,289 | ATHENE HOLDING LTD., CLASS A(b)(c) | 434,631 | 280,193 | |||||
1,000 | AXIS CAPITAL HOLDINGS LTD.(c) | 28,371 | 38,650 | |||||
160,639 | BANK OF AMERICA CORP. | 2,274,054 | 3,410,366 | |||||
10,000 | BANK OF NEW YORK MELLON (THE) CORP. | 206,454 | 336,800 | |||||
23,506 | BERKSHIRE HATHAWAY, INC., CLASS B(b) | 2,744,558 | 4,297,602 | |||||
7,031 | BRIGHTHOUSE FINANCIAL, INC.(b) | 235,812 | 169,939 | |||||
620 | CANNAE HOLDINGS, INC.(b) | 2,893 | 20,764 | |||||
8,416 | CAPITAL ONE FINANCIAL CORP. | 280,817 | 424,335 | |||||
17,900 | CHARLES SCHWAB (THE) CORP. | 156,088 | 601,798 | |||||
6,250 | CHUBB LTD.(c) | 587,621 | 698,063 | |||||
102,035 | CITIGROUP, INC. | 5,578,377 | 4,297,714 | |||||
1,965 | CME GROUP, INC. | 203,851 | 339,768 | |||||
500 | CREDIT ACCEPTANCE CORP.(b) | 86,421 | 127,845 | |||||
11,776 | DISCOVER FINANCIAL SERVICES | 330,143 | 420,050 | |||||
3,601 | E*TRADE FINANCIAL CORP. | 49,884 | 123,586 | |||||
978 | EVERCORE, INC., CLASS A | 74,397 | 45,047 | |||||
869 | EVEREST RE GROUP LTD.(c) | 250,643 | 167,213 | |||||
469 | FAIRFAX FINANCIAL HOLDINGS LTD.(c) | 86,576 | 143,964 | |||||
1,863 | FIDELITY NATIONAL FINANCIAL, INC. | 15,560 | 46,351 | |||||
10,565 | FIFTH THIRD BANCORP | 109,297 | 156,890 | |||||
1,108 | FIRST AMERICAN FINANCIAL CORP. | 53,359 | 46,990 | |||||
400 | FIRST CITIZENS BANCSHARES, INC., CLASS A | 57,523 | 133,148 | |||||
30,500 | FIRST HORIZON NATIONAL CORP. | 193,065 | 245,830 | |||||
2,468 | GLOBE LIFE, INC. | 145,321 | 177,622 | |||||
12,368 | GOLDMAN SACHS GROUP (THE), INC. | 1,432,986 | 1,911,969 | |||||
3,000 | HANOVER INSURANCE GROUP (THE), INC. | 215,948 | 271,740 | |||||
13,312 | HARTFORD FINANCIAL SERVICES GROUP (THE), INC. | 484,859 | 469,115 | |||||
35,000 | HUNTINGTON BANCSHARES, INC. | 169,771 | 287,350 | |||||
505 | INTERCONTINENTAL EXCHANGE, INC. | 12,819 | 40,779 | |||||
18,668 | JANUS HENDERSON GROUP PLC(c) | 277,820 | 285,994 | |||||
59,862 | JPMORGAN CHASE & CO. | 2,584,346 | 5,389,376 | |||||
5,904 | KEYCORP | 30,107 | 61,225 | |||||
1,852 | LEGG MASON, INC. | 25,956 | 90,470 | |||||
200 | MARKEL CORP.(b) | 67,789 | 185,578 | |||||
5,684 | MARSH & MCLENNAN COS., INC. | 240,120 | 491,439 | |||||
1,300 | MERCURY GENERAL CORP. | 38,019 | 52,936 | |||||
1,800 | METLIFE, INC. | 42,684 | 55,026 | |||||
1,474 | MGIC INVESTMENT CORP. | 18,102 | 9,360 | |||||
2,000 | MOODY'S CORP. | 70,550 | 423,000 | |||||
84,073 | MORGAN STANLEY | 2,840,624 | 2,858,482 | |||||
1,600 | MSCI, INC. | 51,168 | 462,336 | |||||
5,900 | NASDAQ, INC. | 240,309 | 560,205 | |||||
2,485 | PACWEST BANCORP | 28,898 | 44,531 | |||||
8,825 | PNC FINANCIAL SERVICES GROUP (THE), INC. | 325,194 | 844,729 | |||||
14,827 | POPULAR, INC. | 741,766 | 518,945 | |||||
4,747 | PRINCIPAL FINANCIAL GROUP, INC. | 143,565 | 148,771 | |||||
21,894 | PROGRESSIVE (THE) CORP. | 1,246,564 | 1,616,653 | |||||
5,900 | PRUDENTIAL FINANCIAL, INC. | 182,565 | 307,626 | |||||
16,006 | RAYMOND JAMES FINANCIAL, INC. | 1,016,976 | 1,011,579 | |||||
17,302 | REGIONS FINANCIAL CORP. | 116,601 | 155,199 | |||||
3,371 | REINSURANCE GROUP OF AMERICA, INC. | 296,860 | 283,636 | |||||
800 | RENAISSANCERE HOLDINGS LTD.(c) | 81,779 | 119,456 | |||||
3,151 | ROYAL BANK OF CANADA(c) | 75,539 | 193,944 | |||||
735 | S&P GLOBAL, INC. | 24,183 | 180,112 | |||||
7,500 | SEI INVESTMENTS CO. | 108,537 | 347,550 | |||||
10,100 | SLM CORP. | 36,679 | 72,619 | |||||
20,278 | STATE STREET CORP. | 1,042,261 | 1,080,209 | |||||
4,737 | SYNCHRONY FINANCIAL | 128,601 | 76,218 | |||||
3,657 | SYNOVUS FINANCIAL CORP. | 49,372 | 64,217 | |||||
3,549 | T. ROWE PRICE GROUP, INC. | 106,978 | 346,560 | |||||
2,946 | TCF FINANCIAL CORP. | 51,834 | 66,756 | |||||
1,300 | TD AMERITRADE HOLDING CORP. | 45,798 | 45,058 |
4 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Financials (Cont'd): | ||||||||
19,022 | TRAVELERS (THE) COS., INC. | $1,767,703 | 1,889,836 | |||||
15,442 | TRUIST FINANCIAL CORP. | 315,841 | 476,231 | |||||
16,200 | TWO HARBORS INVESTMENT CORP. | 75,902 | 61,722 | |||||
17,585 | US BANCORP | 318,503 | 605,803 | |||||
9,900 | VOYA FINANCIAL, INC. | 521,505 | 401,445 | |||||
9,159 | W.R. BERKLEY CORP. | 273,043 | 477,825 | |||||
1,800 | WASHINGTON FEDERAL, INC. | 23,535 | 46,728 | |||||
47,427 | WELLS FARGO & CO. | 593,148 | 1,361,155 | |||||
2,568 | WESTERN ALLIANCE BANCORP | 59,789 | 78,607 | |||||
2,600 | ZIONS BANCORP N.A. | 49,361 | 69,576 | |||||
38,557,248 | 50,582,501 | 12.06% | ||||||
Health Care: | ||||||||
12,487 | ABBOTT LABORATORIES | 246,035 | 985,349 | |||||
28,373 | ABBVIE, INC. | 1,407,552 | 2,161,739 | |||||
300 | ABIOMED, INC.(b) | 44,070 | 43,548 | |||||
1,800 | ADAPTIVE BIOTECHNOLOGIES CORP.(b) | 45,536 | 50,004 | |||||
1,457 | AGILENT TECHNOLOGIES, INC. | 63,335 | 104,350 | |||||
1,200 | AGIOS PHARMACEUTICALS, INC.(b) | 44,843 | 42,576 | |||||
6,964 | ALEXION PHARMACEUTICALS, INC.(b) | 537,224 | 625,298 | |||||
2,191 | ALIGN TECHNOLOGY, INC.(b) | 327,961 | 381,124 | |||||
2,233 | ALLERGAN PLC | 259,023 | 395,464 | |||||
34,100 | AMERISOURCEBERGEN CORP. | 2,402,692 | 3,017,850 | |||||
18,814 | AMGEN, INC. | 3,435,339 | 3,814,162 | |||||
7,050 | ANTHEM, INC. | 381,518 | 1,600,632 | |||||
193 | AVANOS MEDICAL, INC.(b) | 3,014 | 5,197 | |||||
3,700 | AVANTOR, INC.(b) | 41,168 | 46,213 | |||||
9,039 | BAXTER INTERNATIONAL, INC. | 441,749 | 733,876 | |||||
2,765 | BECTON DICKINSON AND CO. | 227,292 | 635,314 | |||||
6,792 | BIOGEN, INC.(b) | 1,848,819 | 2,148,853 | |||||
32,800 | BOSTON SCIENTIFIC CORP.(b) | 182,160 | 1,070,264 | |||||
47,070 | BRISTOL-MYERS SQUIBB CO. | 2,055,080 | 2,623,682 | |||||
2,145 | BRUKER CORP. | 43,219 | 76,920 | |||||
20,122 | CARDINAL HEALTH, INC. | 921,069 | 964,649 | |||||
1,500 | CATALENT, INC.(b) | 72,507 | 77,925 | |||||
2,772 | CENTENE CORP.(b) | 79,676 | 164,684 | |||||
3,600 | CERNER CORP. | 40,604 | 226,764 | |||||
6,542 | CIGNA CORP. | 228,194 | 1,159,112 | |||||
200 | COOPER (THE) COS., INC. | 50,902 | 55,134 | |||||
12,401 | CVS HEALTH CORP. | 507,356 | 735,751 | |||||
9,229 | DANAHER CORP. | 272,153 | 1,277,386 | |||||
22,007 | DAVITA, INC.(b) | 1,626,845 | 1,673,852 | |||||
5,332 | DENTSPLY SIRONA, INC. | 141,306 | 207,042 | |||||
1,500 | DEXCOM, INC.(b) | 87,311 | 403,905 | |||||
8,226 | EDWARDS LIFESCIENCES CORP.(b) | 228,593 | 1,551,588 | |||||
3,800 | ELANCO ANIMAL HEALTH, INC.(b) | 74,580 | 85,082 | |||||
25,679 | ELI LILLY & CO. | 2,508,504 | 3,562,191 | |||||
44,036 | EXELIXIS, INC.(b) | 786,642 | 758,300 | |||||
20,487 | GILEAD SCIENCES, INC. | 381,470 | 1,531,608 | |||||
3,800 | HENRY SCHEIN, INC.(b) | 67,547 | 191,976 | |||||
6,608 | HOLOGIC, INC.(b) | 92,603 | 231,941 | |||||
5,942 | HORIZON THERAPEUTICS PLC(b) | 137,546 | 176,002 | |||||
2,378 | HUMANA, INC. | 820,169 | 746,740 | |||||
2,299 | IDEXX LABORATORIES, INC.(b) | 98,745 | 556,910 | |||||
2,300 | ILLUMINA, INC.(b) | 98,233 | 628,176 | |||||
1,900 | INCYTE CORP.(b) | 120,835 | 139,137 | |||||
1,462 | INTUITIVE SURGICAL, INC.(b) | 560,949 | 723,997 | |||||
5,634 | IQVIA HOLDINGS, INC.(b) | 560,732 | 607,683 | |||||
6,984 | JAZZ PHARMACEUTICALS PLC(b)(c) | 915,001 | 696,584 | |||||
24,558 | JOHNSON & JOHNSON | 1,573,363 | 3,220,290 | |||||
842 | LABORATORY CORP. OF AMERICA HOLDINGS(b) | 53,269 | 106,420 | |||||
7,292 | MCKESSON CORP. | 421,610 | 986,316 | |||||
12,348 | MEDTRONIC PLC(c) | 1,077,575 | 1,113,543 | |||||
43,496 | MERCK & CO., INC. | 1,385,905 | 3,346,582 | |||||
1,317 | METTLER-TOLEDO INTERNATIONAL, INC.(b) | 123,051 | 909,402 | |||||
2,100 | MODERNA, INC.(b) | 56,988 | 62,895 | |||||
939 | MOLINA HEALTHCARE, INC.(b) | 122,169 | 131,188 | |||||
44,680 | MYLAN N.V.(b) | 841,743 | 666,179 |
5 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Health Care (Cont'd): | ||||||||
800 | NEUROCRINE BIOSCIENCES, INC.(b) | $72,192 | 69,240 | |||||
300 | PENUMBRA, INC.(b) | 36,663 | 48,399 | |||||
1,200 | PERRIGO CO. PLC(c) | 53,711 | 57,708 | |||||
116,885 | PFIZER, INC. | 3,131,597 | 3,815,126 | |||||
2,600 | PPD, INC.(b) | 45,518 | 46,306 | |||||
1,000 | QIAGEN N.V.(b)(c) | 39,870 | 41,600 | |||||
292 | REGENERON PHARMACEUTICALS, INC.(b) | 144,299 | 142,581 | |||||
8,022 | RESMED, INC. | 644,542 | 1,181,560 | |||||
700 | SAREPTA THERAPEUTICS, INC.(b) | 66,178 | 68,474 | |||||
10,110 | STERIS PLC | 1,183,076 | 1,415,097 | |||||
1,800 | TELEFLEX, INC. | 195,858 | 527,148 | |||||
6,072 | THERMO FISHER SCIENTIFIC, INC. | 1,007,478 | 1,722,019 | |||||
830 | UNITED THERAPEUTICS CORP.(b) | 72,357 | 78,705 | |||||
14,091 | UNITEDHEALTH GROUP, INC. | 1,941,198 | 3,514,014 | |||||
3,477 | UNIVERSAL HEALTH SERVICES, INC., CLASS B | 211,964 | 344,501 | |||||
1,880 | VAREX IMAGING CORP.(b) | 19,829 | 42,695 | |||||
5,199 | VARIAN MEDICAL SYSTEMS, INC.(b) | 193,000 | 533,729 | |||||
699 | VEEVA SYSTEMS, INC., CLASS A(b) | 45,879 | 109,303 | |||||
2,400 | VERTEX PHARMACEUTICALS, INC.(b) | 337,589 | 571,080 | |||||
8,978 | WATERS CORP.(b) | 1,428,708 | 1,634,445 | |||||
4,304 | ZIMMER BIOMET HOLDINGS, INC. | 233,961 | 435,048 | |||||
559 | ZOETIS, INC. | 40,258 | 65,789 | |||||
42,319,099 | 66,703,916 | 15.90% | ||||||
Industrials: | ||||||||
6,987 | 3M CO. | 417,187 | 953,795 | |||||
923 | ACCO BRANDS CORP. | 3,137 | 4,661 | |||||
11,607 | ADT, INC. | 45,143 | 50,142 | |||||
4,642 | AGCO CORP. | 225,963 | 219,334 | |||||
900 | AIR LEASE CORP. | 17,685 | 19,926 | |||||
1,533 | ALLEGION PLC(c) | 40,913 | 141,067 | |||||
300 | AMERCO | 88,798 | 87,165 | |||||
3,100 | AMERICAN AIRLINES GROUP, INC. | 47,729 | 37,789 | |||||
5,175 | AMETEK, INC. | 73,220 | 372,703 | |||||
5,100 | BOEING (THE) CO. | 215,200 | 760,614 | |||||
1,200 | BWX TECHNOLOGIES, INC. | 54,215 | 58,452 | |||||
5,604 | CARLISLE COS., INC. | 470,886 | 702,069 | |||||
10,504 | CATERPILLAR, INC. | 272,491 | 1,218,884 | |||||
3,200 | CINTAS CORP. | 258,101 | 554,304 | |||||
2,000 | COPART, INC.(b) | 143,195 | 137,040 | |||||
6,700 | CORELOGIC, INC. | 76,313 | 204,618 | |||||
5,739 | CRANE CO. | 189,222 | 282,244 | |||||
4,524 | CSX CORP. | 181,824 | 259,225 | |||||
14,665 | CUMMINS, INC. | 2,331,857 | 1,984,468 | |||||
7,300 | DEERE & CO. | 199,160 | 1,008,568 | |||||
10,100 | DELTA AIR LINES, INC. | 100,965 | 288,153 | |||||
1,525 | DOVER CORP. | 32,899 | 128,009 | |||||
19,882 | EATON CORP. PLC | 752,240 | 1,544,633 | |||||
2,280 | EXPEDITORS INTERNATIONAL OF WASHINGTON, INC. | 112,692 | 152,122 | |||||
5,753 | FEDEX CORP. | 113,466 | 697,609 | |||||
3,325 | FORTIVE CORP. | 43,068 | 183,507 | |||||
39,301 | FORTUNE BRANDS HOME & SECURITY, INC. | 1,900,757 | 1,699,768 | |||||
1,400 | GATX CORP. | 24,276 | 87,584 | |||||
2,128 | GENERAL DYNAMICS CORP. | 296,250 | 281,556 | |||||
875 | HEICO CORP. | 61,334 | 65,284 | |||||
2,156 | HEICO CORP., CLASS A | 109,365 | 137,768 | |||||
360 | HERC HOLDINGS, INC.(b) | 5,808 | 7,366 | |||||
9,188 | HONEYWELL INTERNATIONAL, INC. | 265,803 | 1,229,263 | |||||
1,200 | HUBBELL, INC. | 43,310 | 137,688 | |||||
1,423 | HUNTINGTON INGALLS INDUSTRIES, INC. | 192,370 | 259,285 | |||||
1,500 | IAA, INC.(b) | 45,883 | 44,940 | |||||
2,271 | IDEX CORP. | 140,770 | 313,648 | |||||
4,865 | IHS MARKIT LTD.(c) | 341,988 | 291,900 | |||||
4,824 | ILLINOIS TOOL WORKS, INC. | 155,812 | 685,587 | |||||
2,382 | INGERSOLL RAND, INC.(b) | 18,866 | 59,074 | |||||
1,468 | JACOBS ENGINEERING GROUP, INC. | 29,713 | 116,368 | |||||
2,100 | JB HUNT TRANSPORT SERVICES, INC. | 40,530 | 193,683 | |||||
13,203 | JETBLUE AIRWAYS CORP.(b) | 81,151 | 118,167 |
6 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Industrials (Cont'd): | ||||||||
13,073 | JOHNSON CONTROLS INTERNATIONAL PLC | $341,983 | 352,448 | |||||
4,274 | L3HARRIS TECHNOLOGIES, INC. | 274,846 | 769,833 | |||||
600 | LENNOX INTERNATIONAL, INC. | 17,874 | 109,074 | |||||
1,400 | LINCOLN ELECTRIC HOLDINGS, INC. | 28,970 | 96,600 | |||||
2,538 | LOCKHEED MARTIN CORP. | 689,956 | 860,255 | |||||
1,800 | LYFT, INC., CLASS A(b) | 50,324 | 48,330 | |||||
1,200 | MANITOWOC (THE) CO., INC.(b) | 10,053 | 10,200 | |||||
3,509 | MANPOWERGROUP, INC. | 170,600 | 185,942 | |||||
15,263 | MASCO CORP. | 139,724 | 527,642 | |||||
577 | NORDSON CORP. | 57,299 | 77,935 | |||||
760 | NORFOLK SOUTHERN CORP. | 14,546 | 110,960 | |||||
4,673 | NORTHROP GRUMMAN CORP. | 480,108 | 1,413,816 | |||||
2,519 | NVENT ELECTRIC PLC(c) | 24,113 | 42,496 | |||||
3,666 | OLD DOMINION FREIGHT LINE, INC. | 488,884 | 481,199 | |||||
7,480 | OSHKOSH CORP. | 303,782 | 481,188 | |||||
1,100 | OWENS CORNING | 22,578 | 42,691 | |||||
1,067 | PACCAR, INC. | 47,468 | 65,226 | |||||
4,628 | PARKER-HANNIFIN CORP. | 350,966 | 600,390 | |||||
2,519 | PENTAIR PLC(c) | 49,295 | 74,965 | |||||
5,225 | QUANTA SERVICES, INC. | 97,933 | 165,789 | |||||
1,157 | RAYTHEON CO. | 32,516 | 151,741 | |||||
12,257 | REPUBLIC SERVICES, INC. | 732,074 | 920,010 | |||||
5,250 | ROCKWELL AUTOMATION, INC. | 73,987 | 792,277 | |||||
2,580 | ROLLINS, INC. | 67,194 | 93,241 | |||||
700 | ROPER TECHNOLOGIES, INC. | 94,317 | 218,267 | |||||
2,015 | SNAP-ON, INC. | 191,097 | 219,272 | |||||
16,780 | SOUTHWEST AIRLINES CO. | 560,041 | 597,536 | |||||
5,900 | SPIRIT AEROSYSTEMS HOLDINGS, INC., CLASS A | 238,478 | 141,187 | |||||
2,557 | STANLEY BLACK & DECKER, INC. | 72,048 | 255,700 | |||||
600 | STERICYCLE, INC.(b) | 18,858 | 29,148 | |||||
5,162 | TIMKEN (THE) CO. | 171,352 | 166,939 | |||||
1,596 | TORO (THE) CO. | 76,510 | 103,884 | |||||
10,505 | TRANE TECHNOLOGIES PLC(c) | 490,333 | 867,608 | |||||
200 | TRANSDIGM GROUP, INC. | 60,439 | 64,038 | |||||
12,944 | UBER TECHNOLOGIES, INC.(b) | 398,810 | 361,396 | |||||
7,843 | UNION PACIFIC CORP. | 124,750 | 1,106,177 | |||||
1,928 | UNITED AIRLINES HOLDINGS, INC.(b) | 38,137 | 60,828 | |||||
3,540 | UNITED PARCEL SERVICE, INC., CLASS B | 166,527 | 330,707 | |||||
11,099 | UNITED RENTALS, INC.(b) | 1,158,398 | 1,142,087 | |||||
10,640 | UNITED TECHNOLOGIES CORP. | 359,144 | 1,003,671 | |||||
3,634 | VERISK ANALYTICS, INC. | 459,914 | 506,507 | |||||
180 | VERITIV CORP.(b) | 1,653 | 1,415 | |||||
700 | W.W. GRAINGER, INC. | 30,601 | 173,950 | |||||
975 | WASTE CONNECTIONS, INC. | 42,575 | 75,563 | |||||
17,554 | WASTE MANAGEMENT, INC. | 879,219 | 1,624,798 | |||||
1,200 | WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP. | 21,945 | 57,756 | |||||
1,600 | XYLEM, INC. | 30,618 | 104,208 | |||||
20,514,392 | 35,466,920 | 8.45% | ||||||
Information Technology: | ||||||||
2,200 | 2U, INC.(b) | 40,782 | 46,684 | |||||
4,949 | ACCENTURE PLC, CLASS A(c) | 304,426 | 807,974 | |||||
6,754 | ADOBE, INC.(b) | 802,976 | 2,149,393 | |||||
10,700 | ADVANCED MICRO DEVICES, INC.(b) | 115,242 | 486,636 | |||||
12,626 | AKAMAI TECHNOLOGIES, INC.(b) | 715,662 | 1,155,153 | |||||
1,100 | ALLIANCE DATA SYSTEMS CORP. | 47,178 | 37,015 | |||||
1,236 | ALTERYX, INC., CLASS A(b) | 140,231 | 117,630 | |||||
4,065 | AMDOCS LTD. | 200,086 | 223,453 | |||||
8,600 | ANALOG DEVICES, INC. | 120,368 | 770,990 | |||||
1,400 | ANAPLAN, INC.(b) | 47,612 | 42,364 | |||||
1,200 | ANSYS, INC.(b) | 30,630 | 278,964 | |||||
70,583 | APPLE, INC. | 6,404,827 | 17,948,551 | |||||
7,400 | APPLIED MATERIALS, INC. | 134,145 | 339,068 | |||||
4,877 | ARROW ELECTRONICS, INC.(b) | 267,343 | 252,970 | |||||
1,300 | ATLASSIAN CORP. PLC, CLASS A(b)(c) | 116,368 | 178,438 | |||||
2,586 | AUTODESK, INC.(b) | 163,995 | 403,675 | |||||
6,766 | AUTOMATIC DATA PROCESSING, INC. | 361,211 | 924,777 | |||||
7,371 | BLACK KNIGHT, INC.(b) | 272,636 | 427,960 |
7 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Information Technology (Cont'd): | ||||||||
9,493 | BOOZ ALLEN HAMILTON HOLDING CORP. | $296,190 | 651,599 | |||||
3,991 | BROADCOM, INC. | 183,141 | 946,266 | |||||
3,413 | BROADRIDGE FINANCIAL SOLUTIONS, INC. | 106,898 | 323,655 | |||||
1,209 | CACI INTERNATIONAL, INC., CLASS A(b) | 249,365 | 255,280 | |||||
33,619 | CADENCE DESIGN SYSTEMS, INC.(b) | 1,583,883 | 2,220,199 | |||||
1,522 | CDK GLOBAL, INC. | 19,712 | 49,998 | |||||
7,000 | CDW CORP. | 292,424 | 652,890 | |||||
27,277 | CERENCE, INC.(b) | 633,070 | 420,066 | |||||
84,983 | CISCO SYSTEMS, INC. | 1,929,611 | 3,340,682 | |||||
18,076 | CITRIX SYSTEMS, INC. | 2,088,263 | 2,558,658 | |||||
1,000 | COGNEX CORP. | 44,753 | 42,220 | |||||
2,700 | COGNIZANT TECHNOLOGY SOLUTIONS CORP., CLASS A | 25,751 | 125,469 | |||||
4,600 | COMMSCOPE HOLDING CO., INC.(b) | 41,842 | 41,906 | |||||
15,600 | CORNING, INC. | 85,176 | 320,424 | |||||
900 | COUPA SOFTWARE, INC.(b) | 111,897 | 125,757 | |||||
923 | DELL TECHNOLOGIES, INC., CLASS C(b) | 21,056 | 36,505 | |||||
1,600 | DOCUSIGN, INC.(b) | 101,517 | 147,840 | |||||
2,000 | DOLBY LABORATORIES, INC., CLASS A | 43,420 | 108,420 | |||||
2,300 | DROPBOX, INC., CLASS A(b) | 42,360 | 41,630 | |||||
4,992 | DXC TECHNOLOGY CO. | 158,627 | 65,146 | |||||
1,640 | ECHOSTAR CORP., CLASS A(b) | 21,050 | 52,431 | |||||
954 | EPAM SYSTEMS, INC.(b) | 163,143 | 177,120 | |||||
300 | EURONET WORLDWIDE, INC.(b) | 25,458 | 25,716 | |||||
1,300 | F5 NETWORKS, INC.(b) | 30,063 | 138,619 | |||||
300 | FAIR ISAAC CORP.(b) | 80,682 | 92,307 | |||||
12,959 | FIDELITY NATIONAL INFORMATION SERVICES, INC. | 538,426 | 1,576,333 | |||||
3,900 | FIREEYE, INC.(b) | 44,602 | 41,262 | |||||
9,784 | FISERV, INC.(b) | 172,685 | 929,382 | |||||
200 | FLEETCOR TECHNOLOGIES, INC.(b) | 33,618 | 37,308 | |||||
5,523 | FORTINET, INC.(b) | 393,491 | 558,762 | |||||
5,708 | GLOBAL PAYMENTS, INC. | 297,530 | 823,265 | |||||
800 | GODADDY, INC., CLASS A(b) | 39,006 | 45,688 | |||||
18,800 | HEWLETT PACKARD ENTERPRISE CO. | 102,062 | 182,548 | |||||
11,910 | HP, INC. | 179,763 | 206,758 | |||||
400 | HUBSPOT, INC.(b) | 54,548 | 53,276 | |||||
68,231 | INTEL CORP. | 1,023,945 | 3,692,662 | |||||
11,178 | INTERNATIONAL BUSINESS MACHINES CORP. | 1,160,467 | 1,239,975 | |||||
5,000 | INTUIT, INC. | 103,285 | 1,150,000 | |||||
13,175 | JABIL, INC. | 259,881 | 323,841 | |||||
400 | KEYSIGHT TECHNOLOGIES, INC.(b) | 32,788 | 33,472 | |||||
9,185 | LAM RESEARCH CORP. | 803,602 | 2,204,400 | |||||
27,189 | LEIDOS HOLDINGS, INC. | 2,191,927 | 2,491,872 | |||||
827 | LOGMEIN, INC. | 17,893 | 68,873 | |||||
1,721 | MANHATTAN ASSOCIATES, INC.(b) | 112,154 | 85,740 | |||||
3,770 | MARVELL TECHNOLOGY GROUP LTD. | 20,234 | 85,315 | |||||
8,053 | MASTERCARD, INC., CLASS A | 1,701,115 | 1,945,283 | |||||
1,900 | MEDALLIA, INC.(b) | 44,418 | 38,076 | |||||
4,200 | MICROCHIP TECHNOLOGY, INC. | 38,962 | 284,760 | |||||
46,725 | MICRON TECHNOLOGY, INC.(b) | 1,063,489 | 1,965,253 | |||||
113,888 | MICROSOFT CORP. | 4,940,620 | 17,961,276 | |||||
500 | MKS INSTRUMENTS, INC. | 32,310 | 40,725 | |||||
900 | MONGODB, INC.(b) | 115,074 | 122,886 | |||||
900 | NEW RELIC, INC.(b) | 42,264 | 41,616 | |||||
36,573 | NORTONLIFELOCK, INC. | 432,755 | 684,281 | |||||
8,184 | NVIDIA CORP. | 1,200,803 | 2,157,302 | |||||
18,025 | NXP SEMICONDUCTORS N.V.(c) | 1,630,731 | 1,494,813 | |||||
1,597 | OKTA, INC.(b) | 180,600 | 195,249 | |||||
64,269 | ORACLE CORP. | 3,416,256 | 3,106,121 | |||||
2,800 | PALO ALTO NETWORKS, INC.(b) | 116,508 | 459,088 | |||||
466 | PAYCHEX, INC. | 27,642 | 29,321 | |||||
1,553 | PAYCOM SOFTWARE, INC.(b) | 217,948 | 313,721 | |||||
7,600 | PAYPAL HOLDINGS, INC.(b) | 595,521 | 727,624 | |||||
907 | PERSPECTA, INC. | 8,504 | 16,544 | |||||
3,800 | PLURALSIGHT, INC., CLASS A(b) | 42,888 | 41,724 | |||||
600 | PROOFPOINT, INC.(b) | 56,232 | 61,554 | |||||
2,400 | PTC, INC.(b) | 82,674 | 146,904 | |||||
3,588 | QORVO, INC.(b) | 317,244 | 289,300 |
8 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Information Technology (Cont'd): | ||||||||
7,921 | QUALCOMM, INC. | $619,767 | 535,856 | |||||
3,800 | RINGCENTRAL, INC., CLASS A(b) | 432,566 | 805,258 | |||||
8,372 | SALESFORCE.COM, INC.(b) | 147,727 | 1,205,400 | |||||
65,456 | SEAGATE TECHNOLOGY PLC | 2,607,966 | 3,194,253 | |||||
2,100 | SERVICENOW, INC.(b) | 273,110 | 601,818 | |||||
6,675 | SKYWORKS SOLUTIONS, INC. | 640,777 | 596,611 | |||||
900 | SMARTSHEET, INC., CLASS A(b) | 39,015 | 37,359 | |||||
1,400 | SPLUNK, INC.(b) | 162,032 | 176,722 | |||||
3,000 | SQUARE, INC., CLASS A(b) | 111,050 | 157,140 | |||||
1,938 | SS&C TECHNOLOGIES HOLDINGS, INC. | 86,602 | 84,923 | |||||
10,981 | SYNNEX CORP. | 1,048,564 | 802,711 | |||||
10,032 | SYNOPSYS, INC.(b) | 913,224 | 1,292,021 | |||||
4,600 | TERADYNE, INC. | 82,730 | 249,182 | |||||
27,940 | TEXAS INSTRUMENTS, INC. | 943,662 | 2,792,044 | |||||
7,720 | TRIMBLE, INC.(b) | 113,413 | 245,728 | |||||
200 | VERISIGN, INC.(b) | 23,200 | 36,018 | |||||
18,278 | VISA, INC., CLASS A | 562,267 | 2,944,951 | |||||
7,800 | VISHAY INTERTECHNOLOGY, INC. | 48,931 | 112,398 | |||||
3,772 | VMWARE, INC., CLASS A(b) | 190,784 | 456,789 | |||||
5,845 | WESTERN DIGITAL CORP. | 90,457 | 243,269 | |||||
208,267 | WESTERN UNION (THE) CO. | 4,265,673 | 3,775,881 | |||||
1,000 | WORKDAY, INC., CLASS A(b) | 137,260 | 130,220 | |||||
6,688 | XEROX HOLDINGS CORP. | 243,629 | 126,671 | |||||
6,750 | XILINX, INC. | 47,180 | 526,095 | |||||
2,685 | ZEBRA TECHNOLOGIES CORP., CLASS A(b) | 397,763 | 492,966 | |||||
1,300 | ZENDESK, INC.(b) | 79,215 | 83,213 | |||||
700 | ZSCALER, INC.(b) | 41,398 | 42,602 | |||||
56,901,497 | 109,254,750 | 26.05% | ||||||
Materials: | ||||||||
1,075 | AIR PRODUCTS & CHEMICALS, INC. | 43,205 | 214,581 | |||||
1,300 | ALBEMARLE CORP. | 29,152 | 73,281 | |||||
13,770 | AMCOR PLC(c) | 60,200 | 111,812 | |||||
700 | ASHLAND GLOBAL HOLDINGS, INC. | 12,006 | 35,049 | |||||
3,165 | AVERY DENNISON CORP. | 207,899 | 322,419 | |||||
25,813 | CELANESE CORP. | 2,239,726 | 1,894,416 | |||||
4,500 | CHEMOURS (THE) CO. | 49,032 | 39,915 | |||||
7,262 | CORTEVA, INC. | 88,857 | 170,657 | |||||
1,800 | CROWN HOLDINGS, INC.(b) | 57,831 | 104,472 | |||||
7,262 | DOW, INC. | 147,036 | 212,341 | |||||
10,454 | DUPONT DE NEMOURS, INC. | 408,910 | 356,481 | |||||
7,160 | EASTMAN CHEMICAL CO. | 255,445 | 333,513 | |||||
3,891 | ECOLAB, INC. | 133,579 | 606,335 | |||||
15,800 | FREEPORT-MCMORAN, INC. | 103,648 | 106,650 | |||||
238 | INTERNATIONAL FLAVORS & FRAGRANCES, INC. | 5,120 | 24,295 | |||||
19,791 | INTERNATIONAL PAPER CO. | 619,259 | 616,094 | |||||
4,450 | LINDE PLC(c) | 723,931 | 769,850 | |||||
4,476 | LYONDELLBASELL INDUSTRIES N.V., CLASS A | 176,907 | 222,144 | |||||
700 | MARTIN MARIETTA MATERIALS, INC. | 27,965 | 132,461 | |||||
24,755 | NEWMONT CORP. | 929,653 | 1,120,906 | |||||
5,844 | NUCOR CORP. | 99,313 | 210,501 | |||||
4,000 | OLIN CORP. | 47,145 | 46,680 | |||||
10,294 | PACKAGING CORP. OF AMERICA | 771,550 | 893,828 | |||||
5,172 | PPG INDUSTRIES, INC. | 123,888 | 432,379 | |||||
6,625 | RELIANCE STEEL & ALUMINUM CO. | 325,929 | 580,284 | |||||
600 | ROYAL GOLD, INC. | 22,314 | 52,626 | |||||
2,400 | RPM INTERNATIONAL, INC. | 24,657 | 142,800 | |||||
500 | SCOTTS MIRACLE-GRO (THE) CO. | 37,765 | 51,200 | |||||
1,400 | SEALED AIR CORP. | 24,528 | 34,594 | |||||
257 | SHERWIN-WILLIAMS (THE) CO. | 12,489 | 118,097 | |||||
3,600 | SONOCO PRODUCTS CO. | 74,519 | 166,860 | |||||
3,234 | SOUTHERN COPPER CORP.(c) | 38,445 | 91,069 | |||||
8,200 | STEEL DYNAMICS, INC. | 89,708 | 184,828 | |||||
4,392 | VALVOLINE, INC. | 24,184 | 57,491 | |||||
2,100 | VULCAN MATERIALS CO. | 63,441 | 226,947 | |||||
2,242 | WESTROCK CO. | 24,357 | 63,359 | |||||
8,123,593 | 10,821,215 | 2.58% |
9 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Real Estate: | ||||||||
2,100 | ALEXANDRIA REAL ESTATE EQUITIES, INC. | $106,066 | 287,826 | |||||
9,773 | AMERICAN TOWER CORP. | 1,576,410 | 2,128,071 | |||||
3,529 | APARTMENT INVESTMENT & MANAGEMENT CO., CLASS A | 39,963 | 124,044 | |||||
734 | AVALONBAY COMMUNITIES, INC. | 31,138 | 108,023 | |||||
3,388 | BOSTON PROPERTIES, INC. | 171,468 | 312,475 | |||||
900 | CAMDEN PROPERTY TRUST | 24,065 | 71,316 | |||||
24,200 | COLONY CAPITAL, INC. | 47,800 | 42,350 | |||||
500 | CORESITE REALTY CORP. | 43,021 | 57,950 | |||||
4,700 | CROWN CASTLE INTERNATIONAL CORP. | 190,955 | 678,680 | |||||
900 | CYRUSONE, INC. | 45,900 | 55,575 | |||||
2,500 | DIGITAL REALTY TRUST, INC. | 269,780 | 347,275 | |||||
5,200 | DOUGLAS EMMETT, INC. | 44,883 | 158,652 | |||||
1,700 | DUKE REALTY CORP. | 28,435 | 55,046 | |||||
2,140 | EQUINIX, INC. | 817,154 | 1,336,580 | |||||
10,892 | EQUITY LIFESTYLE PROPERTIES, INC. | 502,076 | 626,072 | |||||
5,416 | EQUITY RESIDENTIAL | 174,162 | 334,221 | |||||
675 | ESSEX PROPERTY TRUST, INC. | 73,174 | 148,662 | |||||
900 | FEDERAL REALTY INVESTMENT TRUST | 48,326 | 67,149 | |||||
1,046 | FOUR CORNERS PROPERTY TRUST, INC. | 8,684 | 19,571 | |||||
2,000 | GAMING AND LEISURE PROPERTIES, INC. | 53,895 | 55,420 | |||||
7,000 | HEALTHPEAK PROPERTIES, INC. | 72,217 | 166,950 | |||||
41,198 | HOST HOTELS & RESORTS, INC. | 501,809 | 454,826 | |||||
678 | HOWARD HUGHES (THE) CORP.(b) | 20,502 | 34,252 | |||||
700 | JBG SMITH PROPERTIES | 17,888 | 22,281 | |||||
700 | JONES LANG LASALLE, INC. | 39,951 | 70,686 | |||||
4,001 | KIMCO REALTY CORP. | 33,139 | 38,690 | |||||
3,900 | LAMAR ADVERTISING CO., CLASS A | 43,876 | 199,992 | |||||
1,800 | MID-AMERICA APARTMENT COMMUNITIES, INC. | 132,698 | 185,454 | |||||
3,700 | OUTFRONT MEDIA, INC. | 47,754 | 49,876 | |||||
10,911 | PROLOGIS, INC. | 282,240 | 876,917 | |||||
1,424 | PUBLIC STORAGE | 135,843 | 282,821 | |||||
6,972 | RAYONIER, INC. | 74,591 | 164,191 | |||||
2,600 | REALTY INCOME CORP. | 49,031 | 129,636 | |||||
3,900 | REGENCY CENTERS CORP. | 85,344 | 149,877 | |||||
6,422 | SBA COMMUNICATIONS CORP. | 1,163,408 | 1,733,747 | |||||
1,594 | SIMON PROPERTY GROUP, INC. | 75,050 | 87,447 | |||||
1,100 | SUN COMMUNITIES, INC. | 83,011 | 137,335 | |||||
2,100 | TAUBMAN CENTERS, INC. | 53,754 | 87,948 | |||||
4,100 | UDR, INC. | 63,318 | 149,814 | |||||
1,727 | VENTAS, INC. | 83,361 | 46,284 | |||||
10,100 | VEREIT, INC. | 51,263 | 49,389 | |||||
4,300 | VICI PROPERTIES, INC. | 66,375 | 71,552 | |||||
2,100 | WEINGARTEN REALTY INVESTORS | 29,916 | 30,303 | |||||
4,916 | WEYERHAEUSER CO. | 64,713 | 83,326 | |||||
7,568,407 | 12,318,552 | 2.94% | ||||||
Utilities: | ||||||||
3,000 | AES CORP. | 32,870 | 40,800 | |||||
2,000 | ALLIANT ENERGY CORP. | 24,835 | 96,580 | |||||
1,600 | AMEREN CORP. | 40,872 | 116,528 | |||||
8,554 | AMERICAN ELECTRIC POWER CO., INC. | 477,380 | 684,149 | |||||
13,200 | AVANGRID, INC. | 502,113 | 577,896 | |||||
5,800 | CENTERPOINT ENERGY, INC. | 66,308 | 89,610 | |||||
13,300 | CMS ENERGY CORP. | 259,708 | 781,375 | |||||
4,989 | CONSOLIDATED EDISON, INC. | 319,712 | 389,142 | |||||
12,073 | DOMINION ENERGY, INC. | 450,978 | 871,550 | |||||
5,743 | DTE ENERGY CO. | 462,041 | 545,413 | |||||
12,117 | DUKE ENERGY CORP. | 582,142 | 980,023 | |||||
8,325 | EDISON INTERNATIONAL | 179,967 | 456,127 | |||||
3,164 | ENTERGY CORP. | 68,368 | 297,321 | |||||
1,735 | ESSENTIAL UTILITIES, INC. | 22,973 | 70,615 | |||||
2,974 | EVERGY, INC. | 67,407 | 163,719 | |||||
4,961 | EVERSOURCE ENERGY | 125,492 | 388,000 | |||||
36,566 | EXELON CORP. | 1,375,912 | 1,345,994 | |||||
5,500 | FIRSTENERGY CORP. | 176,693 | 220,385 | |||||
900 | NATIONAL FUEL GAS CO. | 20,790 | 33,561 | |||||
4,400 | NEXTERA ENERGY, INC. | 204,691 | 1,058,728 | |||||
6,900 | NISOURCE, INC. | 43,973 | 172,293 |
10 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Utilities (Cont'd): | ||||||||
10,933 | OGE ENERGY CORP. | $282,750 | 335,971 | |||||
5,000 | PG&E CORP.(b) | 46,280 | 44,950 | |||||
12,903 | PINNACLE WEST CAPITAL CORP. | 1,006,821 | 977,918 | |||||
700 | PPL CORP. | 10,384 | 17,276 | |||||
1,200 | PUBLIC SERVICE ENTERPRISE GROUP, INC. | 51,552 | 53,892 | |||||
3,200 | SEMPRA ENERGY | 174,758 | 361,568 | |||||
8,600 | SOUTHERN (THE) CO. | 176,010 | 465,604 | |||||
5,426 | UGI CORP. | 80,112 | 144,711 | |||||
1,600 | WEC ENERGY GROUP, INC. | 91,440 | 141,008 | |||||
968 | XCEL ENERGY, INC. | 36,241 | 58,370 | |||||
7,461,573 | 11,981,077 | 2.86% | ||||||
Sub-total Common Stocks: | 255,473,604 | 416,486,020 | 99.29% | |||||
Short-Term Investments: | ||||||||
2,538,487 | NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, 0.37%(d) | 2,538,487 | 2,538,487 | |||||
Sub-total Short-Term Investments: | 2,538,487 | 2,538,487 | 0.60% | |||||
Grand total | $258,012,091 | 419,024,507 | 99.89% |
Notes to Schedule of Investments: | |
(a) | Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded. Foreign security values are stated in U.S. dollars. |
(b) | Non-income producing assets. |
(c) | Foreign security values are stated in U.S. dollars. As of March 31, 2020, the value of foreign stocks or depositary receipts of companies based outside of the United States represented 2.89% of net assets. |
(d) | The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2019, the value of the Clearwater Core Equity Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $2,916,876 with net sales of $378,389 during the three months ended March 31, 2020. |
11 | (Continued) |
• | Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date. |
• | Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active. Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement. |
• | Level 3 – Valuations based on unobservable inputs, which may include the Adviser’s own assumptions in determining the fair value of an investment. |
Level 1 | Level 2 | Level 3 | Total | ||||
Common Stocks | $416,486,020 | $— | $— | $416,486,020 | |||
Short-Term Investments | 2,538,487 | — | — | 2,538,487 | |||
Total | $419,024,507 | $— | $— | $419,024,507 |
12 | (Continued) |
13 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Common Stocks: | ||||||||
Communication Services: | ||||||||
149,248 | ALASKA COMMUNICATIONS SYSTEMS GROUP, INC.(b) | $269,931 | 259,692 | |||||
66,393 | ENTERCOM COMMUNICATIONS CORP., CLASS A | 280,982 | 113,532 | |||||
64,340 | ENTRAVISION COMMUNICATIONS CORP., CLASS A | 186,398 | 130,610 | |||||
50,229 | EW SCRIPPS (THE) CO., CLASS A | 684,682 | 378,727 | |||||
1,669 | GRAY TELEVISION, INC.(b) | 18,266 | 17,925 | |||||
37,351 | READING INTERNATIONAL, INC., CLASS A(b) | 550,188 | 145,295 | |||||
34,648 | SAGA COMMUNICATIONS, INC., CLASS A | 1,052,124 | 953,166 | |||||
17,851 | TOWNSQUARE MEDIA, INC., CLASS A | 139,834 | 82,293 | |||||
3,182,405 | 2,081,240 | 0.85% | ||||||
Consumer Discretionary: | ||||||||
189,700 | AMERICAN EAGLE OUTFITTERS, INC. | 3,387,557 | 1,508,115 | |||||
301,914 | BBX CAPITAL CORP. | 1,546,173 | 697,421 | |||||
121,936 | BLUEGREEN VACATIONS CORP.(c) | 1,147,451 | 704,790 | |||||
110,975 | CALLAWAY GOLF CO. | 1,850,286 | 1,134,165 | |||||
47,443 | CARRIAGE SERVICES, INC. | 916,790 | 766,205 | |||||
213,435 | CLARUS CORP. | 1,204,054 | 2,091,663 | |||||
7,935 | CROWN CRAFTS, INC. | 37,850 | 37,929 | |||||
160,862 | DANA, INC. | 1,858,997 | 1,256,332 | |||||
71,600 | EXTENDED STAY AMERICA, INC. | 1,391,461 | 523,396 | |||||
145,674 | FIESTA RESTAURANT GROUP, INC.(b) | 1,769,880 | 587,066 | |||||
281,942 | FULL HOUSE RESORTS, INC.(b) | 661,760 | 352,428 | |||||
111,300 | GILDAN ACTIVEWEAR, INC.(d) | 2,967,612 | 1,420,188 | |||||
67,200 | HANESBRANDS, INC. | 921,601 | 528,864 | |||||
21,340 | HELEN OF TROY LTD.(b) | 2,251,674 | 3,073,600 | |||||
60,338 | HOOKER FURNITURE CORP. | 1,390,880 | 941,876 | |||||
12,797 | INSTALLED BUILDING PRODUCTS, INC.(b) | 893,009 | 510,217 | |||||
26,692 | J ALEXANDER'S HOLDINGS, INC.(b) | 289,196 | 102,230 | |||||
230,067 | LIFETIME BRANDS, INC. | 2,211,304 | 1,299,879 | |||||
31,900 | MALIBU BOATS, INC., CLASS A(b) | 1,009,960 | 918,401 | |||||
54,781 | MASTERCRAFT BOAT HOLDINGS, INC.(b) | 1,238,281 | 399,901 | |||||
68,618 | MOTORCAR PARTS OF AMERICA, INC.(b) | 1,293,852 | 863,215 | |||||
389,261 | OFFICE DEPOT, INC. | 725,691 | 638,388 | |||||
192,936 | POTBELLY CORP.(b) | 1,515,946 | 596,172 | |||||
66,843 | SKYLINE CHAMPION CORP.(b) | 1,536,580 | 1,048,098 | |||||
40,940 | STONERIDGE, INC.(b) | 933,730 | 685,745 | |||||
20,633 | UNIFI, INC.(b) | 432,745 | 238,311 | |||||
9,365 | VISTA OUTDOOR, INC.(b) | 69,108 | 82,412 | |||||
71,310 | WINNEBAGO INDUSTRIES, INC. | 2,148,506 | 1,983,131 | |||||
27,837 | WYNDHAM DESTINATIONS, INC. | 1,356,040 | 604,063 | |||||
38,957,974 | 25,594,201 | 10.48% | ||||||
Consumer Staples: | ||||||||
73,766 | BJ'S WHOLESALE CLUB HOLDINGS, INC.(b) | 1,834,460 | 1,878,820 | |||||
8,076 | MEDIFAST, INC.(c) | 457,836 | 504,750 | |||||
42,128 | PERFORMANCE FOOD GROUP CO.(b) | 1,448,301 | 1,041,404 | |||||
1,076 | SENECA FOODS CORP., CLASS A(b) | 39,193 | 42,803 | |||||
34,863 | SPECTRUM BRANDS HOLDINGS, INC. | 1,846,251 | 1,267,968 | |||||
566,028 | SUNOPTA, INC.(b)(c)(d) | 2,187,557 | 973,568 | |||||
26,365 | UNIVERSAL CORP. | 1,424,310 | 1,165,597 | |||||
9,237,908 | 6,874,910 | 2.81% | ||||||
Energy: | ||||||||
124,386 | MURPHY OIL CORP.(c) | 2,248,376 | 762,486 | |||||
35,601 | NATIONAL OILWELL VARCO, INC. | 327,308 | 349,958 | |||||
420,962 | NEXTIER OILFIELD SOLUTIONS, INC.(b) | 2,237,589 | 492,526 | |||||
4,813,273 | 1,604,970 | 0.66% | ||||||
Financials: | ||||||||
9,628 | 1ST CONSTITUTION BANCORP | 183,798 | 127,571 | |||||
13,239 | AMALGAMATED BANK, CLASS A | 226,695 | 143,246 | |||||
36,821 | AMBAC FINANCIAL GROUP, INC.(b) | 697,268 | 454,371 | |||||
100,492 | AMERICAN EQUITY INVESTMENT LIFE HOLDING CO. | 2,577,857 | 1,889,250 | |||||
10,167 | AMERICAN NATIONAL BANKSHARES, INC. | 367,944 | 242,991 | |||||
34,353 | AMERIS BANCORP | 1,077,159 | 816,227 | |||||
13,813 | ARGO GROUP INTERNATIONAL HOLDINGS LTD.(d) | 723,465 | 511,910 | |||||
107,251 | ASSOCIATED BANC-CORP | 2,470,813 | 1,371,740 | |||||
46,550 | AXIS CAPITAL HOLDINGS LTD.(d) | 2,492,373 | 1,799,158 | |||||
47,860 | BANCORP (THE), INC.(b) | 434,951 | 290,510 |
14 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Financials (Cont'd): | ||||||||
13,321 | BANKWELL FINANCIAL GROUP, INC. | $368,487 | 203,278 | |||||
18,492 | BCB BANCORP, INC. | 226,527 | 196,940 | |||||
55,672 | BLACKROCK TCP CAPITAL CORP. | 765,630 | 347,950 | |||||
11,659 | BRIDGE BANCORP, INC. | 377,193 | 246,704 | |||||
4,166 | BRYN MAWR BANK CORP. | 155,490 | 118,231 | |||||
48,383 | CANNAE HOLDINGS, INC.(b) | 946,363 | 1,620,347 | |||||
25,487 | CAROLINA FINANCIAL CORP. | 904,017 | 659,349 | |||||
9,422 | CB FINANCIAL SERVICES, INC. | 253,743 | 181,939 | |||||
8,950 | CITIZENS HOLDING CO. | 184,838 | 180,074 | |||||
252,772 | CNO FINANCIAL GROUP, INC. | 4,426,849 | 3,131,845 | |||||
21,041 | COMMERCE BANCSHARES, INC. | 1,001,678 | 1,059,414 | |||||
14,606 | COMMUNITY BANKERS TRUST CORP. | 130,349 | 70,839 | |||||
69,074 | CRAWFORD & CO., CLASS A | 619,458 | 497,333 | |||||
22,696 | CRAWFORD & CO., CLASS B | 185,565 | 145,027 | |||||
101,211 | DONEGAL GROUP, INC., CLASS A | 1,520,565 | 1,538,407 | |||||
14,965 | EAGLE BANCORP MONTANA, INC. | 263,774 | 242,583 | |||||
33,111 | EMPIRE BANCORP, INC.(b) | 447,702 | 324,488 | |||||
27,247 | ENTERPRISE FINANCIAL SERVICES CORP. | 1,135,339 | 760,464 | |||||
84,144 | ESSENT GROUP LTD. | 3,453,322 | 2,216,353 | |||||
126,661 | EXANTAS CAPITAL CORP. | 1,119,731 | 349,584 | |||||
68,410 | FIDUS INVESTMENT CORP. | 951,978 | 452,874 | |||||
6,483 | FIRST BANCSHARES (THE), INC. | 217,375 | 123,631 | |||||
2,892 | FIRST BANK/HAMILTON NJ | 31,447 | 20,071 | |||||
10,051 | FIRST HAWAIIAN, INC. | 257,790 | 166,143 | |||||
30,410 | FIRST MERCHANTS CORP. | 1,250,782 | 805,561 | |||||
9,800 | FIRST MID BANCSHARES, INC. | 335,103 | 232,652 | |||||
77,252 | FIRST MIDWEST BANCORP, INC. | 1,720,204 | 1,022,430 | |||||
7,289 | FIRST NORTHWEST BANCORP | 122,410 | 79,231 | |||||
24,300 | FIRSTCASH, INC. | 1,737,314 | 1,743,282 | |||||
42,444 | FLUSHING FINANCIAL CORP. | 873,797 | 567,052 | |||||
53,400 | GLACIER BANCORP, INC. | 2,184,309 | 1,815,867 | |||||
28,584 | HANCOCK WHITNEY CORP. | 1,332,312 | 557,960 | |||||
16,511 | HARBORONE BANCORP, INC.(b) | 176,523 | 124,328 | |||||
25,460 | HOMESTREET, INC. | 590,299 | 565,976 | |||||
129,059 | HOPE BANCORP, INC. | 2,110,460 | 1,060,865 | |||||
100,551 | INVESTCORP CREDIT MANAGEMENT BDC, INC. | 712,315 | 246,350 | |||||
56,532 | LAKELAND BANCORP, INC. | 948,354 | 611,111 | |||||
30,705 | LANDMARK BANCORP, INC. | 719,534 | 626,382 | |||||
15,917 | LCNB CORP. | 282,661 | 200,554 | |||||
6,871 | LENDINGTREE, INC.(b) | 1,868,484 | 1,260,073 | |||||
34,906 | LUTHER BURBANK CORP. | 376,044 | 320,088 | |||||
54,205 | MACKINAC FINANCIAL CORP. | 802,885 | 566,442 | |||||
8,240 | MAINSTREET BANCSHARES, INC.(b) | 174,029 | 138,102 | |||||
57,317 | MVC CAPITAL, INC. | 498,739 | 250,475 | |||||
4,559 | NATIONAL WESTERN LIFE GROUP, INC., CLASS A | 1,450,448 | 784,148 | |||||
73,058 | NEW MOUNTAIN FINANCE CORP. | 958,968 | 496,794 | |||||
347,973 | OAKTREE SPECIALTY LENDING CORP. | 1,540,182 | 1,127,433 | |||||
157,730 | OAKTREE STRATEGIC INCOME CORP. | 1,338,491 | 873,824 | |||||
6,913 | OCEANFIRST FINANCIAL CORP. | 147,731 | 109,986 | |||||
1,581 | OCONEE FEDERAL FINANCIAL CORP. | 36,347 | 28,869 | |||||
2,239 | ORRSTOWN FINANCIAL SERVICES, INC. | 50,483 | 30,831 | |||||
14,538 | PENNANTPARK FLOATING RATE CAPITAL LTD. | 168,950 | 70,655 | |||||
118,720 | PENNANTPARK INVESTMENT CORP. | 766,165 | 307,485 | |||||
6,478 | PENNS WOODS BANCORP, INC. | 181,444 | 157,415 | |||||
12,936 | PEOPLES BANCORP OF NORTH CAROLINA, INC. | 293,270 | 263,377 | |||||
34,724 | PIONEER BANCORP, INC.(b) | 469,703 | 360,435 | |||||
18,500 | PRA GROUP, INC.(b) | 497,957 | 512,820 | |||||
3,881 | SALISBURY BANCORP, INC. | 147,544 | 120,311 | |||||
920 | SB FINANCIAL GROUP, INC. | 15,179 | 10,230 | |||||
28,956 | SHORE BANCSHARES, INC. | 437,007 | 314,173 | |||||
2,336 | SIERRA BANCORP | 40,971 | 41,067 | |||||
24,283 | SIMMONS FIRST NATIONAL CORP., CLASS A | 687,172 | 446,807 | |||||
53,648 | SOLAR CAPITAL LTD. | 1,098,683 | 624,463 | |||||
72,294 | SOUTHERN NATIONAL BANCORP OF VIRGINIA, INC. | 1,136,364 | 711,373 | |||||
3,671 | SOUTHWEST GEORGIA FINANCIAL CORP. | 75,193 | 67,039 | |||||
25,567 | STIFEL FINANCIAL CORP. | 1,248,890 | 1,055,406 | |||||
28,558 | SUMMIT STATE BANK | 363,303 | 228,178 |
15 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Financials (Cont'd): | ||||||||
24,400 | SYNOVUS FINANCIAL CORP. | $596,222 | 428,464 | |||||
123,290 | TCF FINANCIAL CORP. | 3,931,347 | 2,793,751 | |||||
216,518 | UMPQUA HOLDINGS CORP. | 3,322,747 | 2,360,046 | |||||
16,486 | UNITED BANCORP, INC. | 204,353 | 181,676 | |||||
5,970 | UNITED BANCSHARES, INC.(b) | 129,860 | 97,013 | |||||
39,315 | UNITED SECURITY BANCSHARES | 403,597 | 251,616 | |||||
50,770 | UNITY BANCORP, INC. | 993,903 | 594,009 | |||||
56,456 | UNIVEST FINANCIAL CORP. | 1,418,854 | 921,362 | |||||
28,400 | WALKER & DUNLOP, INC. | 485,825 | 1,143,668 | |||||
41,496 | WEBSTER FINANCIAL CORP. | 2,008,379 | 950,258 | |||||
18,716 | WEST BANCORPORATION, INC. | 392,649 | 306,007 | |||||
32,236 | WSFS FINANCIAL CORP. | 1,348,832 | 803,321 | |||||
78,401,104 | 54,869,933 | 22.47% | ||||||
Health Care: | ||||||||
2,252 | ADDUS HOMECARE CORP.(b) | 149,121 | 152,235 | |||||
37,001 | AMN HEALTHCARE SERVICES, INC.(b) | 1,905,074 | 2,139,028 | |||||
174,179 | AVID BIOSERVICES, INC.(b) | 888,967 | 890,055 | |||||
35,981 | BIODELIVERY SCIENCES INTERNATIONAL, INC.(b) | 180,891 | 136,368 | |||||
54,445 | BIOTELEMETRY, INC.(b) | 2,092,647 | 2,096,677 | |||||
19,457 | BRUKER CORP. | 541,848 | 697,728 | |||||
17,924 | CROSS COUNTRY HEALTHCARE, INC.(b) | 120,486 | 120,808 | |||||
891 | CRYOLIFE, INC.(b) | 14,481 | 15,076 | |||||
21,949 | CUTERA, INC.(b) | 379,237 | 286,654 | |||||
22,421 | EMERGENT BIOSOLUTIONS, INC.(b) | 742,329 | 1,297,279 | |||||
18,632 | GLOBUS MEDICAL, INC., CLASS A(b) | 863,940 | 792,419 | |||||
149,202 | HARVARD BIOSCIENCE, INC.(b) | 277,134 | 329,736 | |||||
20,300 | HILL-ROM HOLDINGS, INC. | 1,669,613 | 2,042,180 | |||||
66,027 | INFUSYSTEM HOLDINGS, INC.(b) | 316,477 | 560,569 | |||||
52,241 | INTEGRA LIFESCIENCES HOLDINGS CORP.(b) | 3,029,139 | 2,333,605 | |||||
16,233 | INVACARE CORP. | 146,450 | 120,611 | |||||
2,558 | LEMAITRE VASCULAR, INC. | 58,604 | 63,745 | |||||
16,268 | LHC GROUP, INC.(b) | 1,144,737 | 2,280,774 | |||||
16,059 | LIGAND PHARMACEUTICALS, INC.(b)(c) | 1,259,328 | 1,167,810 | |||||
20,612 | LIVANOVA PLC(b)(d) | 1,881,932 | 932,693 | |||||
15,465 | MAGELLAN HEALTH, INC.(b) | 806,238 | 744,021 | |||||
52,420 | MERIDIAN BIOSCIENCE, INC.(b) | 393,523 | 440,328 | |||||
27,231 | NANOVIBRONIX, INC.(b) | 132,728 | 56,368 | |||||
110,956 | NEXTGEN HEALTHCARE, INC.(b) | 815,485 | 1,158,381 | |||||
31,887 | OMNICELL, INC.(b) | 1,583,959 | 2,091,149 | |||||
3,846 | OPTIMIZERX CORP.(b) | 27,303 | 34,845 | |||||
14,484 | ORTHOFIX MEDICAL, INC.(b) | 509,751 | 405,697 | |||||
17,948 | OWENS & MINOR, INC. | 102,910 | 164,224 | |||||
55,593 | PREMIER, INC., CLASS A(b) | 1,669,811 | 1,819,003 | |||||
30,685 | PROVIDENCE SERVICE (THE) CORP.(b) | 1,882,753 | 1,683,993 | |||||
55,204 | PSYCHEMEDICS CORP. | 705,029 | 333,984 | |||||
4,124 | SURMODICS, INC.(b) | 166,759 | 137,412 | |||||
32,640 | SYNEOS HEALTH, INC.(b) | 1,406,402 | 1,286,669 | |||||
93,545 | TRIPLE-S MANAGEMENT CORP., CLASS B(b) | 2,136,298 | 1,318,985 | |||||
131,119 | VAREX IMAGING CORP.(b) | 3,673,190 | 2,977,713 | |||||
33,674,574 | 33,108,822 | 13.56% | ||||||
Industrials: | ||||||||
13,900 | ACUITY BRANDS, INC. | 1,580,104 | 1,190,674 | |||||
6,784 | AEROVIRONMENT, INC.(b) | 362,472 | 413,553 | |||||
53,320 | AIR LEASE CORP. | 1,690,020 | 1,180,505 | |||||
16,978 | AIR TRANSPORT SERVICES GROUP, INC.(b) | 328,342 | 310,358 | |||||
18,408 | ALBANY INTERNATIONAL CORP., CLASS A | 829,810 | 871,251 | |||||
18,840 | AMERICAN WOODMARK CORP.(b) | 1,456,760 | 858,539 | |||||
17,080 | APOGEE ENTERPRISES, INC. | 626,050 | 355,606 | |||||
44,580 | ASGN, INC.(b) | 2,140,756 | 1,574,566 | |||||
14,775 | ASTRONICS CORP.(b) | 239,051 | 135,635 | |||||
56,081 | AVIS BUDGET GROUP, INC.(b) | 1,813,050 | 779,526 | |||||
25,909 | BRINK'S (THE) CO. | 1,708,809 | 1,348,563 | |||||
29,750 | BWX TECHNOLOGIES, INC. | 1,584,869 | 1,449,122 | |||||
18,842 | CECO ENVIRONMENTAL CORP.(b) | 140,183 | 87,992 | |||||
28,028 | CIRCOR INTERNATIONAL, INC.(b) | 999,140 | 325,966 | |||||
101,200 | COLFAX CORP.(b) | 2,609,049 | 2,003,760 | |||||
7,511 | COLUMBUS MCKINNON CORP. | 202,004 | 187,775 |
16 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Industrials (Cont'd): | ||||||||
18,300 | DONALDSON CO., INC. | $820,016 | 706,929 | |||||
2,648 | ECHO GLOBAL LOGISTICS, INC.(b) | 57,248 | 45,228 | |||||
114,095 | ENERPAC TOOL GROUP CORP. | 2,866,437 | 1,888,272 | |||||
6,949 | FTI CONSULTING, INC.(b) | 793,122 | 832,282 | |||||
103,900 | GATES INDUSTRIAL CORP. PLC(b) | 1,479,172 | 766,782 | |||||
8,420 | GORMAN-RUPP (THE) CO. | 253,712 | 262,788 | |||||
103,975 | GRAFTECH INTERNATIONAL LTD. | 1,268,775 | 844,277 | |||||
20,028 | GRAHAM CORP. | 381,418 | 258,361 | |||||
54,152 | HARSCO CORP.(b) | 1,089,203 | 377,439 | |||||
35,742 | HERC HOLDINGS, INC.(b) | 1,666,880 | 731,281 | |||||
28,700 | HEXCEL CORP. | 1,854,128 | 1,067,353 | |||||
35,593 | HILLENBRAND, INC. | 846,473 | 680,182 | |||||
88,425 | INTERFACE, INC. | 1,562,056 | 668,493 | |||||
155,976 | JELD-WEN HOLDING, INC.(b) | 3,543,064 | 1,517,646 | |||||
15,450 | KADANT, INC. | 1,308,339 | 1,153,342 | |||||
22,475 | KENNAMETAL, INC. | 766,618 | 418,485 | |||||
13,943 | KRATOS DEFENSE & SECURITY SOLUTIONS, INC.(b) | 148,985 | 192,971 | |||||
239,178 | LSI INDUSTRIES, INC. | 1,296,441 | 904,093 | |||||
21,308 | MASONITE INTERNATIONAL CORP.(b) | 1,386,488 | 1,011,065 | |||||
32,963 | MERCURY SYSTEMS, INC.(b) | 1,570,847 | 2,351,580 | |||||
4,039 | MSA SAFETY, INC. | 368,240 | 408,747 | |||||
183,300 | NOW, INC.(b) | 2,005,233 | 945,828 | |||||
15,500 | NV5 GLOBAL, INC.(b) | 708,179 | 639,995 | |||||
192,000 | PGT INNOVATIONS, INC.(b) | 2,936,615 | 1,610,880 | |||||
110,865 | PIONEER POWER SOLUTIONS, INC.(b) | 640,160 | 171,841 | |||||
173,867 | REV GROUP, INC. | 1,963,728 | 725,025 | |||||
20,700 | RUSH ENTERPRISES, INC., CLASS A | 836,685 | 660,744 | |||||
51,493 | RYDER SYSTEM, INC. | 2,974,569 | 1,361,475 | |||||
28,558 | SKYWEST, INC. | 1,256,073 | 747,934 | |||||
143,744 | STEELCASE, INC., CLASS A | 2,071,806 | 1,418,753 | |||||
87,936 | TEREX CORP. | 3,115,428 | 1,262,761 | |||||
72,638 | TITAN MACHINERY, INC.(b) | 1,019,946 | 631,224 | |||||
46,280 | TRIMAS CORP.(b) | 1,203,803 | 1,069,068 | |||||
3,685 | TRIUMPH GROUP, INC. | 27,658 | 24,911 | |||||
8,628 | VALMONT INDUSTRIES, INC. | 1,190,710 | 914,395 | |||||
31,878 | WOODWARD, INC. | 1,940,747 | 1,894,828 | |||||
67,529,471 | 44,240,649 | 18.11% | ||||||
Information Technology: | ||||||||
24,286 | ASURE SOFTWARE, INC.(b)(c) | 200,316 | 144,745 | |||||
69,627 | AVIAT NETWORKS, INC.(b) | 1,229,827 | 591,829 | |||||
34,488 | AVNET, INC. | 1,429,758 | 865,649 | |||||
17,332 | AXT, INC.(b) | 66,632 | 55,636 | |||||
36,281 | BELDEN, INC. | 1,399,520 | 1,309,018 | |||||
304,521 | CELESTICA, INC.(b)(d) | 2,814,905 | 1,065,823 | |||||
66,820 | COHU, INC. | 996,412 | 827,232 | |||||
98,463 | DSP GROUP, INC.(b) | 1,254,137 | 1,319,404 | |||||
7,400 | ENTEGRIS, INC. | 184,440 | 331,298 | |||||
8,732 | EURONET WORLDWIDE, INC.(b) | 421,875 | 748,507 | |||||
7,474 | EVERBRIDGE, INC.(b) | 652,130 | 794,935 | |||||
42,849 | EVO PAYMENTS, INC., CLASS A(b) | 1,023,972 | 655,590 | |||||
19,058 | FARO TECHNOLOGIES, INC.(b) | 919,749 | 848,081 | |||||
73,424 | FIREEYE, INC.(b) | 1,150,430 | 776,826 | |||||
133,620 | FRANKLIN WIRELESS CORP.(b) | 287,454 | 545,170 | |||||
117,743 | FREQUENCY ELECTRONICS, INC.(b) | 1,084,285 | 1,076,171 | |||||
58,372 | HARMONIC, INC.(b) | 409,900 | 336,223 | |||||
51,237 | IDENTIV, INC.(b) | 253,058 | 173,181 | |||||
72,197 | IMMERSION CORP.(b) | 535,499 | 386,976 | |||||
254,547 | INFINERA CORP.(b) | 1,409,410 | 1,349,099 | |||||
48,243 | INSEEGO CORP.(b) | 295,569 | 300,554 | |||||
5,384 | INSIGHT ENTERPRISES, INC.(b) | 213,013 | 226,828 | |||||
20,401 | JABIL, INC. | 346,167 | 501,457 | |||||
14,682 | KBR, INC. | 250,070 | 303,624 | |||||
63,064 | LIMELIGHT NETWORKS, INC.(b) | 275,188 | 359,465 | |||||
17,202 | LUMENTUM HOLDINGS, INC.(b) | 871,654 | 1,267,787 | |||||
6,478 | MAXLINEAR, INC.(b) | 67,883 | 75,598 | |||||
6,510 | MKS INSTRUMENTS, INC. | 480,406 | 530,239 | |||||
27,081 | NETGEAR, INC.(b) | 488,048 | 618,530 |
17 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Information Technology (Cont'd): | ||||||||
19,379 | NOVANTA, INC.(b) | $673,609 | 1,547,994 | |||||
1,819 | OSI SYSTEMS, INC.(b) | 123,758 | 125,365 | |||||
42,909 | PERFICIENT, INC.(b) | 814,428 | 1,162,405 | |||||
13,564 | PFSWEB, INC.(b) | 29,217 | 40,692 | |||||
7,283 | PHOTRONICS, INC.(b) | 74,325 | 74,724 | |||||
59,321 | PLANTRONICS, INC.(c) | 1,023,170 | 596,769 | |||||
19,880 | PLEXUS CORP.(b) | 1,070,588 | 1,084,653 | |||||
22,265 | PROS HOLDINGS, INC.(b) | 876,551 | 690,883 | |||||
65,846 | SCANSOURCE, INC.(b) | 2,514,326 | 1,408,446 | |||||
395,351 | SERVICESOURCE INTERNATIONAL, INC.(b) | 382,565 | 346,683 | |||||
325,211 | STEEL CONNECT, INC.(b) | 527,819 | 243,908 | |||||
65,575 | SUPER MICRO COMPUTER, INC.(b) | 1,361,339 | 1,395,436 | |||||
25,672 | SYKES ENTERPRISES, INC.(b) | 731,452 | 696,225 | |||||
38,529 | SYNCHRONOSS TECHNOLOGIES, INC.(b)(c) | 181,083 | 117,513 | |||||
14,555 | SYNNEX CORP. | 1,111,062 | 1,063,970 | |||||
161,416 | TIVO CORP. | 1,213,191 | 1,142,825 | |||||
63,816 | UNISYS CORP.(b) | 501,962 | 788,128 | |||||
1,094 | UPLAND SOFTWARE, INC.(b) | 27,205 | 29,341 | |||||
155,266 | VERRA MOBILITY CORP.(b) | 2,114,398 | 1,108,599 | |||||
14,757 | VIRTUSA CORP.(b) | 660,422 | 419,099 | |||||
8,792 | WNS HOLDINGS LTD. ADR(b)(d)(e) | 472,830 | 377,880 | |||||
41,460 | XPERI CORP. | 773,001 | 576,709 | |||||
38,270,008 | 33,423,722 | 13.68% | ||||||
Materials: | ||||||||
12,052 | AMERICAN VANGUARD CORP. | 212,462 | 174,272 | |||||
46,800 | AXALTA COATING SYSTEMS LTD.(b) | 715,685 | 808,236 | |||||
43,920 | H.B. FULLER CO. | 2,345,404 | 1,226,686 | |||||
33,645 | INGEVITY CORP.(b) | 2,063,322 | 1,184,304 | |||||
30,157 | KOPPERS HOLDINGS, INC.(b) | 567,057 | 373,042 | |||||
89,193 | OLIN CORP. | 1,542,645 | 1,040,882 | |||||
13,600 | RELIANCE STEEL & ALUMINUM CO. | 981,254 | 1,191,224 | |||||
55,800 | SCHWEITZER-MAUDUIT INTERNATIONAL, INC. | 2,185,718 | 1,552,356 | |||||
10,613,547 | 7,551,002 | 3.09% | ||||||
Real Estate: | ||||||||
43,309 | ALPINE INCOME PROPERTY TRUST, INC. | 779,567 | 533,134 | |||||
62,807 | BLUEROCK RESIDENTIAL GROWTH REIT, INC. | 531,539 | 349,835 | |||||
84,460 | CITY OFFICE REIT, INC.(d) | 1,080,022 | 610,646 | |||||
6,410 | COMMUNITY HEALTHCARE TRUST, INC. | 178,399 | 245,375 | |||||
19,249 | CONDOR HOSPITALITY TRUST, INC. | 137,767 | 79,113 | |||||
67,067 | DIAMONDROCK HOSPITALITY CO. | 728,909 | 340,700 | |||||
38,623 | EMPIRE STATE REALTY TRUST, INC., CLASS A | 570,007 | 346,062 | |||||
48,040 | ESSENTIAL PROPERTIES REALTY TRUST, INC. | 981,936 | 627,403 | |||||
154,248 | INDEPENDENCE REALTY TRUST, INC. | 1,873,094 | 1,378,977 | |||||
13,742 | INNOVATIVE INDUSTRIAL PROPERTIES, INC.(c) | 1,284,912 | 1,043,430 | |||||
1,335 | INVESTORS REAL ESTATE TRUST | 86,033 | 73,425 | |||||
24,794 | ISTAR, INC. | 255,670 | 263,064 | |||||
36,844 | MARCUS & MILLICHAP, INC.(b) | 1,011,318 | 998,473 | |||||
11,568 | MONMOUTH REAL ESTATE INVESTMENT CORP. | 137,703 | 139,394 | |||||
18,413 | NEXPOINT RESIDENTIAL TRUST, INC. | 501,531 | 464,192 | |||||
20,697 | ONE LIBERTY PROPERTIES, INC. | 528,182 | 288,309 | |||||
73,581 | PHYSICIANS REALTY TRUST | 1,213,857 | 1,025,719 | |||||
89,118 | PLYMOUTH INDUSTRIAL REIT, INC. | 1,471,789 | 994,557 | |||||
28,138 | QTS REALTY TRUST, INC., CLASS A | 1,340,491 | 1,632,285 | |||||
48,644 | RAFAEL HOLDINGS, INC., CLASS B(b) | 964,235 | 623,130 | |||||
69,283 | REALOGY HOLDINGS CORP.(c) | 1,827,617 | 208,542 | |||||
72,929 | STRATUS PROPERTIES, INC.(b) | 2,010,048 | 1,290,114 | |||||
43,355 | UMH PROPERTIES, INC. | 533,404 | 470,835 | |||||
18,076 | XENIA HOTELS & RESORTS, INC. | 368,750 | 186,183 | |||||
20,396,780 | 14,212,897 | 5.82% | ||||||
Utilities: | ||||||||
15,530 | ALLETE, INC. | 773,168 | 942,361 | |||||
960 | MIDDLESEX WATER CO. | 52,791 | 57,715 | |||||
140,645 | PURE CYCLE CORP.(b) | 960,159 | 1,568,192 | |||||
24,152 | SJW GROUP | 1,508,208 | 1,395,261 | |||||
16,023 | SPIRE, INC. | 907,028 | 1,193,393 | |||||
1,923 | UNITIL CORP. | 80,410 | 100,611 |
18 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Utilities (Cont'd): | ||||||||
805 | YORK WATER (THE) CO. | $30,127 | 34,985 | |||||
4,311,891 | 5,292,518 | 2.17% | ||||||
Sub-total Common Stocks: | 309,388,935 | 228,854,864 | 93.70% | |||||
Convertible Bonds: | ||||||||
Health Care: | ||||||||
340,000 | INVACARE CORP., 4.50%, 6/1/22 | 296,098 | 305,845 | |||||
296,098 | 305,845 | 0.12% | ||||||
Sub-total Convertible Bonds: | 296,098 | 305,845 | 0.12% | |||||
Convertible Preferred Stocks: | ||||||||
Real Estate: | ||||||||
6,041 | WHEELER REAL ESTATE INVESTMENT TRUST, INC.(b) | 61,499 | 40,475 | |||||
14,090 | WHEELER REAL ESTATE INVESTMENT TRUST, INC. (Step to 10.75% on 9/21/2023), 8.75%(b)(f) | 179,449 | 123,287 | |||||
240,948 | 163,762 | 0.07% | ||||||
Sub-total Convertible Preferred Stocks: | 240,948 | 163,762 | 0.07% | |||||
Investment Companies: | ||||||||
Financials: | ||||||||
5,400 | ISHARES RUSSELL 2000 ETF | 530,051 | 618,084 | |||||
530,051 | 618,084 | 0.25% | ||||||
Sub-total Investment Companies: | 530,051 | 618,084 | 0.25% | |||||
Master Limited Partnerships: | ||||||||
Industrials: | ||||||||
49,874 | STEEL PARTNERS HOLDINGS L.P.(b) | 613,881 | 270,487 | |||||
613,881 | 270,487 | 0.11% | ||||||
Sub-total Master Limited Partnerships: | 613,881 | 270,487 | 0.11% | |||||
Preferred Stocks: | ||||||||
Industrials: | ||||||||
145,341 | STEEL PARTNERS HOLDINGS L.P., 6.00% | 2,356,403 | 2,460,623 | |||||
2,356,403 | 2,460,623 | 1.01% | ||||||
Sub-total Preferred Stocks: | 2,356,403 | 2,460,623 | 1.01% | |||||
Rights: | ||||||||
Consumer Discretionary: | ||||||||
55,700 | MEDIA GENERAL, INC. (CONTINGENT VALUE RIGHTS)(b)(g) | - | - | |||||
- | - | 0.00% | ||||||
Sub-total Rights: | - | - | 0.00% | |||||
Warrants: | ||||||||
Health Care: | ||||||||
19,977 | NANOVIBRONIX, INC.(b)(g) | 200 | - | |||||
200 | - | 0.00% | ||||||
Sub-total Warrants: | 200 | - | 0.00% | |||||
Short-Term Investments: | ||||||||
4,668,267 | FIDELITY INVESTMENTS MONEY MARKET GOVERNMENT PORTFOLIO(h) | 4,668,267 | 4,668,267 | |||||
12,943,408 | NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, 0.37%(i) | 12,943,408 | 12,943,408 | |||||
Sub-total Short-Term Investments: | 17,611,675 | 17,611,675 | 7.21% | |||||
Grand total | $331,038,191 | 250,285,340 | 102.47% |
Notes to Schedule of Investments: | |
(a) | Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded. Foreign security values are stated in U.S. dollars. |
(b) | Non-income producing assets. |
(c) | Security is either wholly or partially on loan. |
(d) | Foreign security values are stated in U.S. dollars. As of March 31, 2020, the value of foreign stocks or depositary receipts of companies based outside of the United States represented 3.15% of net assets. |
(e) | Securities are American Depositary Receipts of companies based outside of the United States representing 0.15% of net assets as of March 31, 2020. |
19 | (Continued) |
(f) | For step bonds, the coupon rate disclosed is the current rate in effect. |
(g) | Security has been deemed worthless and is a Level 3 investment. |
(h) | Investment relates to cash collateral received from portfolio securities loaned. |
(i) | The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2019, the value of the Clearwater Small Companies Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $9,691,925 with net purchases of $3,251,483 during the three months ended March 31, 2020. |
20 | (Continued) |
• | Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date. |
• | Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active. Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement. |
• | Level 3 – Valuations based on unobservable inputs, which may include the Adviser’s own assumptions in determining the fair value of an investment. |
Level 1 | Level 2 | Level 3 | Total | ||||
Common Stocks | $228,854,864 | $— | $— | $228,854,864 | |||
Convertible Bonds | — | 305,845 | — | 305,845 | |||
Convertible Preferred Stocks | 163,762 | — | — | 163,762 | |||
Investment Companies | 618,084 | — | — | 618,084 | |||
Master Limited Partnerships | 270,487 | — | — | 270,487 | |||
Preferred Stocks | 2,460,623 | — | — | 2,460,623 | |||
Rights | — | — | —* | —* | |||
Warrants | — | — | —* | —* | |||
Short-Term Investments | 17,611,675 | — | — | 17,611,675 | |||
Total | $249,979,495 | $305,845 | $—* | $250,285,340 |
21 | (Continued) |
22 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Closed-End Funds: | ||||||||||||
175,324 | BLACKROCK LONG-TERM MUNICIPAL ADVANTAGE TRUST | $1,742,266 | 1,967,135 | |||||||||
54,180 | BLACKROCK MUNICIPAL INCOME QUALITY TRUST | 739,165 | 717,885 | |||||||||
17,900 | BLACKROCK MUNIENHANCED FUND INC | 188,128 | 190,814 | |||||||||
58,171 | BLACKROCK MUNIHOLDINGS FUND II INC | 822,154 | 799,270 | |||||||||
91,327 | BLACKROCK MUNIHOLDINGS INVESTMENT QUALITY FUND | 1,010,095 | 1,194,557 | |||||||||
34,402 | BLACKROCK MUNIHOLDINGS NEW JERSEY QUALITY FUND INC | 488,969 | 453,762 | |||||||||
83,977 | BLACKROCK MUNIHOLDINGS QUALITY FUND II INC | 1,060,121 | 1,007,724 | |||||||||
66,500 | BLACKROCK MUNIHOLDINGS QUALITY FUND INC | 860,392 | 794,675 | |||||||||
55,111 | BLACKROCK MUNIYIELD INVESTMENT QUALITY FUND | 701,111 | 751,163 | |||||||||
157,958 | BLACKROCK MUNIYIELD MICHIGAN QUALITY FUND INC | 2,064,776 | 2,092,944 | |||||||||
51,700 | BLACKROCK MUNIYIELD PENNSYLVANIA QUALITY FUND | 729,423 | 693,814 | |||||||||
102,096 | BLACKROCK MUNIYIELD QUALITY FUND II INC | 1,309,732 | 1,260,886 | |||||||||
118,472 | BLACKROCK MUNIYIELD QUALITY FUND III INC | 1,572,465 | 1,514,072 | |||||||||
164,449 | DWS MUNICIPAL INCOME TRUST | 1,858,569 | 1,772,760 | |||||||||
5,000 | EATON VANCE MUNICIPAL BOND FUND | 66,580 | 62,400 | |||||||||
178,050 | INVESCO ADVANTAGE MUNICIPAL INCOME TRUST II | 1,981,830 | 1,828,574 | |||||||||
123,205 | INVESCO MUNICIPAL OPPORTUNITY TRUST | 1,531,774 | 1,410,697 | |||||||||
91,614 | INVESCO MUNICIPAL TRUST | 1,151,022 | 1,071,884 | |||||||||
144,886 | INVESCO QUALITY MUNICIPAL INCOME TRUST | 1,749,794 | 1,696,615 | |||||||||
60,000 | INVESCO TRUST FOR INVESTMENT GRADE MUNICIPALS | 772,688 | 725,400 | |||||||||
16,234 | INVESCO VALUE MUNICIPAL INCOME TRUST | 200,500 | 229,549 | |||||||||
65,834 | NUVEEN AMT-FREE MUNICIPAL CREDIT INCOME FUND | 969,329 | 966,443 | |||||||||
300,875 | NUVEEN AMT-FREE QUALITY MUNICIPAL INCOME FUND | 4,065,667 | 4,073,848 | |||||||||
15,963 | NUVEEN MICHIGAN QUALITY MUNICIPAL INCOME FUND | 214,604 | 214,223 | |||||||||
52,779 | NUVEEN PENNSYLVANIA QUALITY MUNICIPAL INCOME FUND | 723,142 | 702,488 | |||||||||
190,984 | NUVEEN QUALITY MUNICIPAL INCOME FUND | 2,721,667 | 2,624,120 | |||||||||
28,000 | PUTNAM MUNICIPAL OPPORTUNITIES TRUST | 371,050 | 334,040 | |||||||||
Sub-total Closed-End Funds: | 31,667,013 | 31,151,742 | 5.29% | |||||||||
Municipal Bonds: | ||||||||||||
Alabama | ||||||||||||
1,000,000 | PELL CITY AL SPL CARE FACS FING AUTH REVENUE | 12/1/2031 | 5.00 | 1,018,706 | 1,052,160 | |||||||
1,018,706 | 1,052,160 | 0.18% | ||||||||||
Alaska | ||||||||||||
200,000 | ALASKA ST HSG FIN CORP MTGE REVENUE | 12/1/2037 | 4.13 | 196,909 | 203,804 | |||||||
1,000,000 | ALASKA ST HSG FIN CORP MTGE REVENUE | 12/1/2040 | 3.75 | 1,074,798 | 1,070,150 | |||||||
350,000 | ALASKA ST INDL DEV & EXPORT AUTH CMNTY PROVIDER REVENUE(b) | 12/1/2010 | 5.40 | 350,000 | 17,500 | |||||||
1,621,707 | 1,291,454 | 0.22% | ||||||||||
Arizona | ||||||||||||
500,000 | ARIZONA ST INDL DEV AUTH EDU REVENUE(c) | 7/15/2038 | 5.75 | 521,366 | 525,750 | |||||||
1,000,000 | ARIZONA ST INDL DEV AUTH MF HSG REVENUE | 1/1/2038 | 5.38 | 1,000,000 | 912,860 | |||||||
700,000 | GLENDALE AZ INDL DEV AUTH | 11/15/2036 | 5.00 | 723,315 | 656,348 | |||||||
550,000 | GLENDALE AZ INDL DEV AUTH | 11/15/2046 | 5.25 | 557,638 | 523,490 | |||||||
800,000 | MARICOPA CNTY AZ INDL DEV AUTH EDU REVENUE | 7/1/2035 | 5.00 | 840,716 | 763,760 | |||||||
870,000 | MARICOPA CNTY AZ INDL DEV AUTH EDU REVENUE(c) | 7/1/2052 | 6.00 | 919,101 | 885,173 | |||||||
750,000 | MARICOPA CNTY AZ INDL DEV AUTH SENIOR LIVING FACS REVENUE(c) | 1/1/2036 | 5.75 | 742,290 | 739,995 | |||||||
500,000 | NAVAJO NATION AZ(c) | 12/1/2030 | 5.50 | 522,977 | 533,990 | |||||||
1,000,000 | PEORIA AZ INDL DEV AUTH | 11/15/2029 | 5.25 | 1,000,000 | 938,760 | |||||||
1,000,000 | PHOENIX AZ INDL DEV AUTH EDU REVENUE(c) | 7/1/2036 | 5.13 | 986,376 | 979,950 | |||||||
2,500,000 | PHOENIX AZ INDL DEV AUTH LEASE REVENUE | 6/1/2034 | 5.25 | 2,512,669 | 2,626,275 | |||||||
800,000 | PIMA CNTY AZ INDL DEV AUTH EDU REVENUE(c) | 12/1/2026 | 5.25 | 800,000 | 795,064 | |||||||
10,000 | PIMA CNTY AZ INDL DEV AUTH EDU REVENUE | 7/1/2031 | 6.75 | 7,934 | 10,018 | |||||||
1,370,000 | PIMA CNTY AZ INDL DEV AUTH EDU REVENUE(c) | 6/15/2035 | 5.38 | 1,454,260 | 1,346,847 | |||||||
750,000 | PIMA CNTY AZ INDL DEV AUTH EDU REVENUE(c) | 6/15/2037 | 4.75 | 737,011 | 669,450 |
23 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Arizona (Cont'd): | ||||||||||||
930,000 | QUECHAN INDIAN TRIBE AZ FORT YUMA INDIAN RESERVATION | 5/1/2025 | 9.75 | $930,000 | 984,144 | |||||||
500,000 | TEMPE AZ INDL DEV AUTH REVENUE(c) | 10/1/2024 | 4.70 | 498,972 | 494,025 | |||||||
500,000 | TEMPE AZ INDL DEV AUTH REVENUE(c) | 10/1/2037 | 6.00 | 502,650 | 505,100 | |||||||
15,257,275 | 14,890,999 | 2.53% | ||||||||||
Arkansas | ||||||||||||
525,000 | SHERIDAN AR SCH DIST #37 | 2/1/2047 | 4.00 | 531,389 | 538,340 | |||||||
1,000,000 | SPRINGDALE AR SALES & USE REVENUE | 4/1/2041 | 3.60 | 972,620 | 1,036,290 | |||||||
1,504,009 | 1,574,630 | 0.27% | ||||||||||
California | ||||||||||||
2,350,000 | ACALANES CA UNION HIGH SCH DIST (Step to 6.55% on 8/1/2024)(d) | 8/1/2039 | 0.00 | 1,779,723 | 2,622,811 | |||||||
1,000,000 | ALVORD CA UNIF SCH DIST | 8/1/2036 | 5.25 | 1,012,151 | 1,106,720 | |||||||
1,000,000 | ALVORD CA UNIF SCH DIST (Step to 7.35% on 8/1/2026)(d) | 8/1/2046 | 0.00 | 636,070 | 1,185,370 | |||||||
500,000 | CALIFORNIA ST HLTH FACS FING AUTH REVENUE | 8/15/2033 | 5.50 | 501,759 | 528,325 | |||||||
1,500,000 | CALIFORNIA ST SCH FACS FING AUTH REVENUE | 8/1/2029 | 6.00 | 1,491,527 | 1,892,100 | |||||||
1,000,000 | CARLSBAD CA UNIF SCH DIST (Step to 6.13% on 8/1/2021)(d) | 8/1/2031 | 0.00 | 920,851 | 1,287,420 | |||||||
1,500,000 | CLOVIS CA UNIF SCH DIST(e) | 8/1/2030 | 0.00 | 804,504 | 943,950 | |||||||
1,000,000 | COLTON CA JT UNIF SCH DIST (Step to 5.80% on 8/1/2021)(d) | 8/1/2035 | 0.00 | 926,592 | 1,163,620 | |||||||
1,105,000 | CORONA-NORCO CA UNIF SCH DIST | 8/1/2039 | 6.80 | 1,103,966 | 1,494,557 | |||||||
750,000 | EL PASO DE ROBLES CA REDEV AGY TAX ALLOCATION REVENUE | 7/1/2033 | 6.38 | 743,680 | 753,090 | |||||||
1,000,000 | ENCINITAS CA UNION SCH DIST (Step to 6.75% on 8/1/2022)(d) | 8/1/2035 | 0.00 | 856,510 | 1,332,230 | |||||||
1,155,000 | ENTERPRISE CA ELEM SCH DIST (Step to 6.20% on 8/1/2021)(d) | 8/1/2035 | 0.00 | 1,064,686 | 1,552,251 | |||||||
600,000 | ESCONDIDO CA SPL TAX | 9/1/2036 | 5.00 | 632,518 | 697,134 | |||||||
1,500,000 | HARTNELL CA CMNTY CLG DIST (Step to 7.00% on 8/1/2022)(d) | 8/1/2034 | 0.00 | 1,277,512 | 1,780,155 | |||||||
3,500,000 | HEALDSBURG CA UNIF SCH DIST (Step to 4.60% on 8/1/2022)(d) | 8/1/2037 | 0.00 | 3,144,823 | 3,598,455 | |||||||
1,000,000 | HELENDALE CA SCH DIST | 8/1/2034 | 6.25 | 998,941 | 1,370,990 | |||||||
1,000,000 | IMPERIAL CA CMNTY CLG DIST | 8/1/2040 | 6.75 | 1,007,147 | 1,280,960 | |||||||
750,000 | MARTINEZ CA UNIF SCH DIST | 8/1/2035 | 6.13 | 747,638 | 908,235 | |||||||
2,000,000 | OAK PARK CA UNIF SCH DIST (Step to 7.10% on 8/1/2021)(d) | 8/1/2038 | 0.00 | 1,823,391 | 2,719,620 | |||||||
2,625,000 | PITTSBURG CALIF UNI SCH DIST FING AUTH REVENUE(e) | 9/1/2031 | 0.00 | 1,313,730 | 1,259,160 | |||||||
1,000,000 | REDONDO BEACH CA UNIF SCH DIST | 8/1/2034 | 6.38 | 997,450 | 1,273,690 | |||||||
750,000 | REEF-SUNSET CA UNIF SCH DIST (Step to 4.85% on 8/1/2021)(d) | 8/1/2038 | 0.00 | 703,577 | 803,235 | |||||||
1,000,000 | RIVERSIDE CA CMNTY PPTYS DEV INC LEASE REVENUE | 10/15/2038 | 6.00 | 1,011,391 | 1,163,800 | |||||||
1,500,000 | S TAHOE CA JT PWRS FING AUTH LEASE REVENUE | 10/1/2030 | 5.00 | 1,582,662 | 1,703,850 | |||||||
350,000 | SACRAMENTO CNTY CA WTR FING AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.57%)(f) | 6/1/2039 | 1.63 | 350,000 | 323,281 | |||||||
500,000 | SAN DIEGO CA HSG AUTH MF HSG REVENUE | 5/1/2029 | 5.00 | 500,000 | 516,300 | |||||||
1,500,000 | SAN GABRIEL CA UNIF SCH DIST | 8/1/2039 | 5.35 | 1,496,190 | 1,614,390 | |||||||
1,000,000 | SAN JOSE CA FING AUTH | 6/1/2039 | 5.00 | 1,025,864 | 1,103,060 | |||||||
500,000 | SANTA MONICA CA REDEV AGY | 7/1/2036 | 5.88 | 503,370 | 526,165 | |||||||
2,250,000 | SULPHUR SPRINGS CA UNION SCH DIST COPS | 12/1/2037 | 6.50 | 2,248,272 | 2,747,072 | |||||||
1,500,000 | SUTTER BUTTE CA FLOOD AGY ASSMNT REVENUE | 10/1/2038 | 4.00 | 1,484,456 | 1,593,540 | |||||||
1,000,000 | TRACY CA JT UNIF SCH DIST (Step to 7.30% on 8/1/2027)(d) | 8/1/2041 | 0.00 | 684,981 | 1,025,530 | |||||||
1,250,000 | TUSTIN CA UNIF SCH DIST | 8/1/2028 | 6.00 | 1,245,824 | 1,329,962 | |||||||
36,621,756 | 45,201,028 | 7.67% | ||||||||||
Colorado | ||||||||||||
500,000 | 9TH AVENUE MET DIST #2 CO | 12/1/2048 | 5.00 | 500,000 | 474,735 |
24 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Colorado (Cont'd): | ||||||||||||
1,000,000 | AEROTROPOLIS REGL TRANPRTN AUTH CO SPL REVENUE | 12/1/2051 | 5.00 | $1,014,895 | 914,180 | |||||||
750,000 | BROADWAY STATION MET DIST #2 CO | 12/1/2048 | 5.13 | 750,000 | 722,160 | |||||||
1,000,000 | BROADWAY STATION MET DIST #3 CO | 12/1/2049 | 5.00 | 1,023,327 | 912,260 | |||||||
650,000 | BUFFALO HIGHLANDS MET DIST | 12/1/2038 | 5.25 | 651,775 | 604,747 | |||||||
500,000 | COLORADO SCIENCE AND TECH PARK MET DIST #1 | 12/1/2033 | 5.00 | 505,994 | 487,780 | |||||||
1,000,000 | COLORADO ST EDUCTNL & CULTURAL FACS AUTH REVENUE | 7/1/2034 | 5.60 | 995,085 | 1,006,000 | |||||||
1,000,000 | COLORADO ST EDUCTNL & CULTURAL FACS AUTH REVENUE(c) | 9/1/2046 | 5.00 | 1,004,056 | 912,590 | |||||||
1,250,000 | COLORADO ST HLTH FACS AUTH HOSP REVENUE | 12/1/2048 | 5.00 | 1,309,561 | 1,312,125 | |||||||
1,000,000 | COLORADO ST HLTH FACS AUTH REVENUE | 8/1/2033 | 7.63 | 989,633 | 1,055,460 | |||||||
650,000 | COPPER RIDGE MET DIST CO TAX INCR & SALES TAX SUPPORTED REVENUE | 12/1/2043 | 5.00 | 669,139 | 589,674 | |||||||
500,000 | COPPERLEAF CO MET DIST #2 | 12/1/2030 | 5.25 | 500,000 | 504,125 | |||||||
500,000 | COPPERLEAF CO MET DIST #2 | 12/1/2045 | 5.75 | 500,000 | 502,575 | |||||||
750,000 | COPPERLEAF CO MET DIST #4 | 12/1/2049 | 5.00 | 781,369 | 667,403 | |||||||
1,000,000 | CREEKWALK MARKETPLACE BUSINESS IMPT DIST CO(c) | 12/1/2039 | 5.50 | 1,000,000 | 874,740 | |||||||
750,000 | CRYSTAL CO CROSSING MET DIST | 12/1/2040 | 5.25 | 750,000 | 708,457 | |||||||
1,000,000 | DENVER CO URBAN RENEWAL AUTH TAX INCR REVENUE(c) | 12/1/2039 | 5.25 | 985,467 | 939,240 | |||||||
1,000,000 | DIATC MET DIST CO(c) | 12/1/2049 | 5.00 | 1,063,828 | 931,340 | |||||||
1,000,000 | DOUGLAS CNTY CO MF REVENUE | 10/1/2029 | 4.50 | 1,000,000 | 1,033,070 | |||||||
500,000 | HASKINS STATION CO MET DIST | 12/1/2039 | 5.00 | 516,613 | 448,000 | |||||||
500,000 | HUNTERS OVERLOOK METRO DIST #5 CO | 12/1/2049 | 5.00 | 528,010 | 462,910 | |||||||
710,000 | IRON MOUNTAIN MET DIST #2 CO | 12/1/2049 | 5.00 | 723,907 | 602,591 | |||||||
1,000,000 | LAMBERTSON FARMS CO MET DIST #1 REVENUE | 12/15/2025 | 5.00 | 991,140 | 904,110 | |||||||
500,000 | LAMBERTSON FARMS CO MET DIST #1 REVENUE | 12/15/2035 | 5.50 | 500,000 | 422,010 | |||||||
750,000 | LEYDEN ROCK MET DIST #10 | 12/1/2045 | 5.00 | 766,369 | 719,730 | |||||||
1,000,000 | LITTLETON VLG MET DIST #2 COLO SPL REV | 12/1/2045 | 5.38 | 996,514 | 961,800 | |||||||
750,000 | MIRABELLE MET DIST #2 CO | 12/1/2049 | 5.00 | 794,041 | 656,865 | |||||||
611,972 | MOUNT CARBON CO MET DIST REVENUE (Step to 0.00% on 6/1/2033)(d) | 6/1/2043 | 7.00 | 611,972 | 611,972 | |||||||
200,000 | MOUNT CARBON CO MET DIST REVENUE(b) | 6/1/2043 | 8.00 | - | 44,000 | |||||||
1,000,000 | PAINTED PRAIRIE PUB IMPT AUTH CO | 12/1/2039 | 5.00 | 1,032,848 | 918,890 | |||||||
500,000 | PALISADE CO MET DIST #2 LIMITED TAX | 12/1/2046 | 5.00 | 510,853 | 458,850 | |||||||
1,000,000 | PROMENADE CASTLE ROCK CO MET DIST #1 | 12/1/2025 | 5.13 | 1,000,000 | 1,032,260 | |||||||
500,000 | ST VRAIN LAKES MET DIST #2 | 12/1/2037 | 5.00 | 500,000 | 475,735 | |||||||
1,000,000 | STC MET DIST #2 CO | 12/1/2049 | 5.00 | 1,057,275 | 901,160 | |||||||
500,000 | TALLMAN GULCH MET DIST CO | 12/1/2047 | 5.25 | 500,000 | 444,720 | |||||||
1,000,000 | THOMPSON CROSSING MET DIST #4 CO | 12/1/2049 | 5.00 | 1,054,449 | 938,300 | |||||||
700,000 | VAUXMONT MET DIST CO | 12/15/2050 | 3.25 | 700,000 | 726,922 | |||||||
500,000 | VELOCITY MET DIST #3 CO | 12/1/2039 | 5.38 | 500,000 | 480,320 | |||||||
1,000,000 | WINDSHIRE PARK CO MET DIST #2 | 12/1/2047 | 6.50 | 1,080,447 | 1,016,800 | |||||||
30,358,567 | 28,380,606 | 4.82% | ||||||||||
Connecticut | ||||||||||||
1,000,000 | CONNECTICUT ST HSG FIN AUTH HSG FIN MTGE PROGRAM | 11/15/2035 | 3.88 | 1,000,000 | 1,076,700 | |||||||
515,000 | CONNECTICUT ST HSG FIN AUTH HSG MTGE FIN PROGRAM | 5/15/2038 | 3.95 | 515,000 | 536,908 | |||||||
2,000,000 | CONNECTICUT ST HSG FIN AUTH HSG MTGE FIN PROGRAM | 5/15/2045 | 3.85 | 2,063,033 | 2,086,000 | |||||||
5,000,000 | CONNECTICUT ST HSG FIN AUTH HSG MTGE FIN PROGRAM | 11/15/2047 | 3.65 | 5,000,000 | 5,063,750 | |||||||
574,545 | MASHANTUCKET WSTRN PEQUOT TRIBE CT | 7/1/2031 | 6.05 | 589,641 | 21,546 | |||||||
9,167,674 | 8,784,904 | 1.49% |
25 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
District of Columbia | ||||||||||||
500,000 | DIST OF COLUMBIA HSG FIN AGY MF HSG REVENUE | 7/1/2033 | 5.45 | $500,000 | 519,195 | |||||||
1,000,000 | DIST OF COLUMBIA HSG FIN AGY MF HSG REVENUE | 6/1/2040 | 4.90 | 1,000,000 | 1,049,850 | |||||||
1,000,000 | DIST OF COLUMBIA HSG FIN AGY MF HSG REVENUE | 6/1/2041 | 5.00 | 1,000,000 | 1,057,760 | |||||||
1,200,000 | DIST OF COLUMBIA REVENUE | 7/1/2037 | 5.00 | 1,200,000 | 1,146,468 | |||||||
1,000,000 | DISTRICT OF COLUMBIA HSG FIN AGY | 9/1/2043 | 4.05 | 1,000,000 | 1,088,660 | |||||||
4,700,000 | 4,861,933 | 0.82% | ||||||||||
Florida | ||||||||||||
1,000,000 | ALACHUA CNTY FL HLTH FACS AUTH CCRC | 10/1/2032 | 8.00 | 1,072,069 | 1,096,210 | |||||||
500,000 | ALTA LAKES CMNTY DEV DIST FL SPL ASSMNT | 5/1/2039 | 4.40 | 497,424 | 464,530 | |||||||
400,000 | ASTURIA FL CMNTY DEV DIST SPL ASSMNT | 5/1/2034 | 5.75 | 400,000 | 401,372 | |||||||
1,265,000 | BAY CNTY FL EDUCTNL FACS REVENUE | 9/1/2030 | 5.25 | 1,180,874 | 1,279,396 | |||||||
1,000,000 | BELLALAGO FL EDUCTNL FACS BENEFIT DIST CAPITAL IMPT REVENUE | 5/1/2030 | 4.38 | 987,538 | 1,101,040 | |||||||
500,000 | BLACKBURN CREEK CMNTY DEV DISTFL CAP IMPT REVENUE | 5/1/2035 | 6.25 | 500,000 | 520,530 | |||||||
220,000 | BLACKBURN CREEK CMNTY DEV DISTFL CAP IMPT REVENUE | 5/1/2045 | 6.25 | 220,000 | 227,086 | |||||||
1,370,000 | CAPITAL TRUST AGY FL CHRT SCH REVENUE | 2/1/2035 | 5.38 | 1,370,000 | 1,289,115 | |||||||
750,000 | CAPITAL TRUST AGY FL REVENUE | 4/1/2035 | 7.00 | 750,000 | 636,000 | |||||||
1,750,000 | CAPITAL TRUST AGY FL REVENUE(c)(g) | 12/1/2035 | 6.75 | 1,745,953 | 1,120,332 | |||||||
750,000 | CAPITAL TRUST AGY FL REVENUE(c)(g) | 7/1/2037 | 6.75 | 750,000 | 477,833 | |||||||
750,000 | CAPITAL TRUST AGY FL SENIOR LIVING REVENUE(c) | 8/1/2027 | 5.00 | 750,000 | 675,413 | |||||||
750,000 | CAPITAL TRUST AGY FL SENIOR LIVING REVENUE(c) | 8/1/2032 | 5.38 | 750,000 | 647,565 | |||||||
500,000 | CAPITAL TRUST AGY FL STUDENT HSG REVENUE(c) | 12/1/2043 | 5.25 | 514,693 | 482,245 | |||||||
750,000 | CELEBRATION POINTE CMNTY DEV DIST #1 FL SPL ASSMNT REVENUE(c) | 5/1/2032 | 5.00 | 754,423 | 762,285 | |||||||
750,000 | COLLIER CNTY FL INDL DEV AUTH | 10/1/2039 | 6.25 | 737,547 | 782,978 | |||||||
750,000 | COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV(b)(c)(g) | 5/15/2026 | 7.25 | 750,000 | 653,438 | |||||||
1,750,000 | COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV(b)(c)(g) | 5/15/2044 | 8.13 | 1,913,765 | 1,524,687 | |||||||
1,000,000 | DAVIE FL EDUCTNL FACS REVENUE | 4/1/2042 | 6.00 | 1,011,969 | 1,095,730 | |||||||
500,000 | DOWDEN WEST CMNTY DEV DIST FL SPL ASSMNT REVENUE(c) | 5/1/2039 | 5.40 | 500,000 | 521,165 | |||||||
1,000,000 | ESCAMBIA CNTY FL HSG FIN AUTH SF MTGE REVENUE | 10/1/2049 | 3.75 | 1,000,000 | 1,061,870 | |||||||
715,000 | FISHHAWK CCD IV FL SPL ASSMNT REVENUE | 5/1/2033 | 7.00 | 715,000 | 777,298 | |||||||
1,000,000 | FLORIDA ST DEPT OF EDU CMNTY CLG CAPITAL IMPT REVENUE | 7/1/2030 | 4.38 | 1,019,558 | 1,018,830 | |||||||
1,000,000 | FLORIDA ST DEV FIN CORP EDUCTNL FACS REVENUE(c) | 6/15/2035 | 6.00 | 1,000,846 | 1,033,670 | |||||||
120,000 | FLORIDA ST HSG FIN CORP REVENUE | 7/1/2026 | 5.00 | 120,015 | 120,991 | |||||||
795,000 | FLORIDA ST HSG FIN CORP REVENUE | 7/1/2035 | 3.75 | 795,000 | 847,359 | |||||||
540,000 | FLORIDA ST HSG FIN CORP REVENUE | 7/1/2039 | 4.20 | 540,000 | 556,065 | |||||||
1,980,000 | FLORIDA ST HSG FIN CORP REVENUE | 1/1/2045 | 4.20 | 1,980,000 | 2,189,504 | |||||||
1,000,000 | FLORIDA ST HSG FIN CORP REVENUE | 7/1/2049 | 3.30 | 1,000,000 | 1,027,820 | |||||||
1,000,000 | FRERC CDD FL | 11/1/2040 | 5.38 | 1,000,000 | 933,340 | |||||||
650,000 | HARBOR BAY FL CDD CAPITAL IMPT REVENUE | 5/1/2048 | 4.10 | 645,673 | 571,110 | |||||||
800,000 | HERITAGE HARBOUR FL N CDD SPL ASSMNT | 5/1/2034 | 5.00 | 800,000 | 832,088 | |||||||
240,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2025 | 4.25 | 239,669 | 241,574 | |||||||
1,600,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2030 | 7.40 | 1,588,766 | 1,671,632 |
26 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Florida (Cont'd): | ||||||||||||
730,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2033 | 6.70 | $730,000 | 769,887 | |||||||
1,100,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2034 | 5.35 | 1,112,185 | 1,149,775 | |||||||
1,300,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2036 | 5.00 | 1,300,000 | 1,336,062 | |||||||
750,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE(c) | 5/1/2037 | 5.00 | 744,880 | 763,388 | |||||||
750,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2037 | 5.25 | 745,761 | 779,145 | |||||||
700,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2038 | 5.00 | 700,000 | 701,316 | |||||||
1,000,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2039 | 5.30 | 1,000,000 | 1,023,840 | |||||||
630,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2049 | 4.00 | 626,749 | 552,308 | |||||||
500,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2049 | 4.50 | 492,801 | 481,680 | |||||||
940,000 | LAKEWOOD RANCH FL STEWARDSHIP DIST SPL ASSMNT REVENUE | 5/1/2050 | 4.00 | 925,394 | 804,555 | |||||||
465,000 | LEXINGTON OAKS FL CDD SPL ASSMNT REVENUE | 5/1/2033 | 5.65 | 465,000 | 480,280 | |||||||
315,000 | LONG LAKE RANCH CMNTY DEV DIST FLA CAP IMPT REVENUE | 5/1/2024 | 5.63 | 315,000 | 318,830 | |||||||
25,000 | LONG LAKE RANCH CMNTY DEV DISTFLA CAP IMPT REV | 5/1/2026 | 4.00 | 24,973 | 25,006 | |||||||
500,000 | LT RANCH CDD FL CAPITAL IMPT REVENUE | 5/1/2040 | 4.00 | 506,198 | 455,420 | |||||||
250,000 | MAGNOLIA CREEK FL CDD CAPITAL IMPT REVENUE(b) | 5/1/2014 | 5.60 | 250,000 | 45,000 | |||||||
500,000 | MANATEE CNTY FL SCH BRD COPS | 7/1/2031 | 5.63 | 496,888 | 528,135 | |||||||
740,000 | MARSHALL CREEK FL CDD SPL ASSMNT | 5/1/2032 | 5.00 | 751,582 | 734,013 | |||||||
500,000 | MIAMI BEACH FL HLTH FACS AUTH | 11/15/2044 | 5.00 | 529,998 | 525,505 | |||||||
135,000 | MIAMI-DADE CNTY FL HLTH FACS AUTH HOSP REVENUE | 8/1/2030 | 6.00 | 131,055 | 136,897 | |||||||
350,000 | N SPRINGS FL IMPT DIST | 5/1/2027 | 6.00 | 350,000 | 360,745 | |||||||
115,000 | NEW RIVER FL CDD CAPITAL IMPT REVENUE(b) | 5/1/2013 | 5.00 | 114,821 | 1 | |||||||
500,000 | NORTH SPRINGS FL IMPT DIST | 5/1/2044 | 6.50 | 500,000 | 507,395 | |||||||
1,400,000 | NTHRN PALM BEACH CNTY FL IMPT DIST | 8/1/2029 | 5.00 | 1,406,068 | 1,455,244 | |||||||
500,000 | NTHRN PALM BEACH CNTY FL IMPT DIST | 8/1/2037 | 5.00 | 509,193 | 513,885 | |||||||
1,000,000 | ORANGE CNTY FL HLTH FACS AUTH REVENUE | 8/1/2034 | 5.00 | 1,032,582 | 1,091,520 | |||||||
750,000 | ORANGE CNTY FL HLTH FACS AUTH REVENUE | 8/1/2035 | 5.00 | 775,486 | 828,735 | |||||||
1,000,000 | ORANGE CNTY FL HLTH FACS AUTH REVENUE | 8/1/2047 | 5.00 | 1,064,331 | 1,087,920 | |||||||
560,000 | ORANGE CNTY FL HSG FIN AUTH | 9/1/2035 | 3.80 | 560,000 | 591,780 | |||||||
500,000 | PALM BEACH CNTY FL HLTH FACS AUTH REVENUE | 6/1/2034 | 7.25 | 500,000 | 525,625 | |||||||
1,200,000 | PALM BEACH CNTY FL HLTH FACS AUTH REVENUE | 5/15/2036 | 5.00 | 1,295,645 | 1,243,416 | |||||||
1,000,000 | PALM BEACH CNTY FL HLTH FACS AUTH REVENUE | 6/1/2049 | 7.50 | 1,049,454 | 1,048,740 | |||||||
1,935,000 | PALM BEACH CNTY FL HLTH FACS AUTH REVENUE | 5/15/2053 | 4.00 | 1,784,154 | 1,705,644 | |||||||
500,000 | PARKER ROAD FL CDD CAPITAL IMPT REVENUE | 5/1/2050 | 4.10 | 498,258 | 414,810 | |||||||
500,000 | PINELLAS CNTY FL INDL DEV AUTH INDL DEV REVENUE | 7/1/2039 | 5.00 | 553,599 | 499,960 | |||||||
725,000 | POINCIANA FL W CDD SPL ASSMNT | 5/1/2030 | 5.38 | 717,998 | 742,038 | |||||||
500,000 | SEVEN OAKS FL CMNTY DEV DIST SPL ASSMNT REVENUE | 5/1/2033 | 5.50 | 490,856 | 519,165 | |||||||
175,000 | SILVERLEAF FL CDD CAPITAL IMPT REVENUE | 5/1/2044 | 6.75 | 171,914 | 182,915 | |||||||
142,538 | STERLING HILL FL CDD CAPITAL IMPT REVENUE(b) | 11/1/2010 | 5.50 | 142,538 | 89,799 | |||||||
1,100,000 | TALLAHASSEE FL HLTH FACS REVENUE | 12/1/2040 | 5.00 | 1,144,102 | 1,215,709 |
27 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Florida (Cont'd): | ||||||||||||
500,000 | TOLOMATO FL CDD | 5/1/2037 | 4.25 | $500,000 | 471,070 | |||||||
50,000 | TOLOMATO FL CDD (Step to 6.61% on 5/1/2022)(d) | 5/1/2040 | 0.00 | 48,463 | 39,114 | |||||||
185,000 | TOLOMATO FL CDD (Step to 6.61% on 11/1/2021)(d) | 5/1/2040 | 0.00 | 167,950 | 160,116 | |||||||
115,000 | TOLOMATO FL CDD (Step to 6.61% on 11/1/2024)(d) | 5/1/2040 | 0.00 | 83,675 | 77,850 | |||||||
1,490,000 | TOLOMATO FL CDD | 5/1/2040 | 3.75 | 1,432,893 | 1,638,091 | |||||||
125,000 | TOLOMATO FL CDD(b) | 5/1/2040 | 6.61 | - | 1 | |||||||
700,000 | TROUT CREEK CDD FL CAPITAL IMPT REVENUE | 5/1/2038 | 5.38 | 700,000 | 725,123 | |||||||
500,000 | TSR CDD FL SPL ASSMNT REVENUE | 11/1/2035 | 5.38 | 498,688 | 521,075 | |||||||
1,500,000 | UNIVERSITY PARK RECREATION DIST FL ON-AD VALOREM ASSMNT | 5/1/2050 | 3.50 | 1,500,000 | 1,616,985 | |||||||
1,160,000 | VLG FL CDD #7 SPL ASSMNT REVENUE | 5/1/2036 | 4.00 | 1,153,191 | 1,230,772 | |||||||
4,000 | WATERS EDGE FL CDD CAPITAL IMPT REVENUE | 5/1/2039 | 5.35 | 4,000 | 3,858 | |||||||
105,000 | WATERS EDGE FL CDD CAPITAL IMPT REVENUE | 5/1/2039 | 6.60 | 104,239 | 92,062 | |||||||
740,000 | WIREGRASS FL CDD CAPITAL IMPT REVENUE | 5/1/2035 | 5.38 | 736,161 | 763,702 | |||||||
750,000 | WYNNFIELD LAKES FL CDD | 5/1/2036 | 4.50 | 745,349 | 793,290 | |||||||
350,934 | ZEPHYR RIDGE FL CDD CAPITAL IMPT REVENUE(b) | 5/1/2013 | 5.25 | 351,276 | 154,411 | |||||||
64,136,130 | 63,165,709 | 10.72% | ||||||||||
Georgia | ||||||||||||
500,000 | ATHENS-CLARKE CNTY GA UNIF GOVT DEV AUTH REVENUE | 6/15/2039 | 5.00 | 509,472 | 549,505 | |||||||
500,000 | ATLANTA GA ARPT REVENUE | 1/1/2030 | 6.00 | 501,993 | 516,225 | |||||||
1,350,000 | COBB CNTY GA DEV AUTH(c) | 12/1/2039 | 5.00 | 1,419,412 | 1,189,579 | |||||||
845,000 | FULTON CNTY GA DEV AUTH | 11/1/2028 | 5.25 | 741,417 | 845,110 | |||||||
3,500,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2037 | 3.80 | 3,500,000 | 3,604,125 | |||||||
2,000,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2037 | 4.00 | 2,000,000 | 2,044,100 | |||||||
925,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2038 | 3.85 | 925,000 | 995,393 | |||||||
535,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2039 | 4.00 | 535,000 | 557,058 | |||||||
2,500,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2040 | 3.80 | 2,500,000 | 2,629,500 | |||||||
1,000,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2041 | 3.85 | 1,002,720 | 1,028,130 | |||||||
1,950,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2043 | 3.90 | 1,941,160 | 2,002,240 | |||||||
1,100,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2048 | 4.00 | 1,100,000 | 1,173,634 | |||||||
1,500,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2048 | 4.20 | 1,506,538 | 1,632,465 | |||||||
1,750,000 | GEORGIA ST HSG & FIN AUTH REVENUE | 12/1/2049 | 3.25 | 1,750,000 | 1,793,120 | |||||||
19,932,712 | 20,560,184 | 3.49% | ||||||||||
Idaho | ||||||||||||
655,000 | IDAHO ST HLTH FACS AUTH REVENUE | 10/1/2024 | 7.00 | 655,000 | 672,934 | |||||||
750,000 | IDAHO ST HLTH FACS AUTH REVENUE | 10/1/2029 | 7.38 | 743,623 | 771,990 | |||||||
1,000,000 | IDAHO ST HLTH FACS AUTH REVENUE | 10/1/2044 | 8.00 | 1,041,840 | 1,030,530 | |||||||
2,440,463 | 2,475,454 | 0.42% | ||||||||||
Illinois | ||||||||||||
1,195,000 | BELLWOOD IL | 12/1/2027 | 5.88 | 1,188,089 | 1,329,760 | |||||||
1,495,000 | BOLINGBROOK IL SPL SVC AREA SPL TAX | 3/1/2030 | 4.00 | 1,545,152 | 1,691,458 | |||||||
1,250,000 | BURBANK IL EDUCTNL FACS REVENUE(c) | 9/1/2035 | 6.00 | 1,260,671 | 1,298,388 | |||||||
1,000,000 | BUREAU CNTY TWP IL HIGH SCH DIST #502 | 10/1/2043 | 6.63 | 1,031,843 | 1,192,680 | |||||||
1,000,000 | CHICAGO HEIGHTS IL | 12/1/2029 | 4.50 | 1,048,328 | 1,090,710 | |||||||
1,000,000 | CHICAGO IL MIDWAY ARPT REVENUE | 1/1/2035 | 5.25 | 1,000,998 | 1,090,330 | |||||||
1,000,000 | CHICAGO IL PARK DIST | 1/1/2028 | 5.00 | 1,078,524 | 1,077,080 | |||||||
637,000 | CORTLAND IL SPL TAX REVENUE(b) | 3/1/2017 | 5.50 | 633,881 | 95,550 |
28 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Illinois (Cont'd): | ||||||||||||
500,000 | DECATUR IL | 3/1/2034 | 5.00 | $508,873 | 558,305 | |||||||
1,000,000 | DEKALB/KANE/LA SALLE CNTYS IL CMNTY CLG DIST #523(e) | 2/1/2029 | 0.00 | 602,056 | 593,940 | |||||||
1,500,000 | ILLINOIS ST | 2/1/2030 | 4.00 | 1,493,903 | 1,486,095 | |||||||
500,000 | ILLINOIS ST | 7/1/2033 | 5.50 | 498,790 | 513,600 | |||||||
1,000,000 | ILLINOIS ST EDUCTNL FACS AUTH | 11/1/2036 | 4.50 | 1,000,000 | 1,091,730 | |||||||
675,000 | ILLINOIS ST FIN AUTH EDUCTNL FAC REVENUE | 2/1/2034 | 6.00 | 679,552 | 702,986 | |||||||
500,000 | ILLINOIS ST FIN AUTH REVENUE | 5/15/2036 | 5.00 | 501,286 | 479,140 | |||||||
750,000 | ILLINOIS ST FIN AUTH REVENUE | 12/1/2037 | 5.00 | 765,537 | 779,333 | |||||||
500,000 | ILLINOIS ST FIN AUTH REVENUE | 5/1/2038 | 5.25 | 508,682 | 477,505 | |||||||
1,450,000 | ILLINOIS ST FIN AUTH REVENUE | 5/15/2038 | 5.13 | 1,410,272 | 1,302,027 | |||||||
1,000,000 | ILLINOIS ST FIN AUTH REVENUE | 5/15/2045 | 5.00 | 1,055,266 | 1,017,100 | |||||||
2,000,000 | ILLINOIS ST HSG DEV AUTH MF REVENUE | 7/1/2044 | 3.15 | 2,000,000 | 2,083,020 | |||||||
980,000 | ILLINOIS ST HSG DEV AUTH REVENUE | 4/1/2041 | 3.88 | 980,000 | 1,057,685 | |||||||
1,000,000 | ILLINOIS ST SALES TAX REVENUE | 6/15/2033 | 5.00 | 1,069,328 | 1,013,990 | |||||||
1,500,000 | ILLINOIS ST SPORTS FACS AUTH | 6/15/2031 | 5.25 | 1,565,371 | 1,709,145 | |||||||
500,000 | LAKE CNTY IL SCH DIST #33 | 12/1/2040 | 5.00 | 517,419 | 548,505 | |||||||
1,000,000 | MACON & MOULTRIE CNTYS IL CMNTY SCH DIST #3 MOUNT ZION | 12/1/2041 | 5.50 | 1,015,199 | 1,102,660 | |||||||
1,000,000 | MACON CNTY IL SCH DIST #61 | 1/1/2037 | 5.25 | 1,003,414 | 1,027,580 | |||||||
1,080,000 | MACOUPIN SANGAMON & MONTGOMERY CNTYS IL CMNTY SCH DIST #34 | 12/1/2037 | 4.25 | 1,103,126 | 1,154,142 | |||||||
1,000,000 | MALTA IL TAX INCR REVENUE(b) | 12/30/2025 | 5.75 | 1,000,000 | 320,000 | |||||||
500,000 | MET PIER & EXPOSITION AUTH IL REVENUE | 6/15/2057 | 5.00 | 518,758 | 486,790 | |||||||
1,000,000 | NTHRN IL UNIV | 4/1/2026 | 5.50 | 1,000,000 | 1,000,000 | |||||||
500,000 | RICHTON PARK IL PUBLIC LIBRARY DIST | 12/15/2032 | 4.50 | 526,001 | 528,020 | |||||||
395,000 | S WSTRN IL DEV AUTH(b) | 10/1/2022 | 7.00 | 395,000 | 229,100 | |||||||
620,000 | UPPER IL RIVER VLY DEV AUTH(c) | 12/1/2022 | 4.00 | 616,895 | 609,218 | |||||||
750,000 | UPPER IL RIVER VLY DEV AUTH(c) | 12/1/2037 | 5.25 | 766,888 | 728,925 | |||||||
465,000 | UPPER IL RIVER VLY DEV AUTH(c) | 1/1/2045 | 5.00 | 496,796 | 439,127 | |||||||
685,000 | WESTMONT IL PARK DIST(e) | 12/1/2031 | 0.00 | 346,054 | 392,676 | |||||||
685,000 | WESTMONT IL PARK DIST(e) | 12/1/2033 | 0.00 | 301,758 | 343,500 | |||||||
33,033,710 | 32,641,800 | 5.54% | ||||||||||
Indiana | ||||||||||||
233,864 | CARMEL IN REVENUE(b) | 11/15/2022 | 6.00 | 237,266 | 2,339 | |||||||
331,723 | CARMEL IN REVENUE(b) | 11/15/2027 | 7.00 | 324,812 | 3,317 | |||||||
500,000 | DAVIESS CNTY IN HOSP ASSN LEASE RENTAL REVENUE | 1/15/2029 | 5.25 | 493,063 | 511,675 | |||||||
1,000,000 | EAST CHICAGO IN SAN DIST REVENUE | 7/15/2035 | 4.00 | 993,270 | 1,071,810 | |||||||
750,000 | EVANSVILLE IN MF HSG REVENUE | 1/1/2038 | 5.45 | 750,000 | 677,197 | |||||||
3,000,000 | INDIANA ST FIN AUTH REVENUE | 9/15/2030 | 6.50 | 3,016,412 | 3,233,730 | |||||||
500,000 | INDIANA ST FIN AUTH REVENUE | 11/15/2031 | 5.50 | 494,487 | 514,155 | |||||||
1,000,000 | INDIANA ST FIN AUTH REVENUE | 11/15/2033 | 6.50 | 988,821 | 1,063,650 | |||||||
1,000,000 | INDIANA ST FIN AUTH REVENUE | 3/1/2041 | 5.00 | 1,018,255 | 1,073,650 | |||||||
500,000 | INDIANA ST FIN AUTH REVENUE | 11/15/2041 | 5.88 | 522,732 | 530,930 | |||||||
1,000,000 | INDIANA ST FIN AUTH REVENUE | 11/15/2041 | 6.00 | 987,972 | 1,067,760 | |||||||
1,000,000 | INDIANA ST FIN AUTH REVENUE | 11/15/2046 | 5.25 | 1,029,802 | 1,034,370 | |||||||
1,500,000 | INDIANA ST HSG & CMNTY DEV AUTH MF HSG REVENUE | 1/1/2036 | 5.75 | 1,500,000 | 1,325,220 | |||||||
600,000 | MERRILLVILLE IN ECON DEV REVENUE | 4/1/2036 | 5.75 | 600,000 | 513,564 | |||||||
1,000,000 | MISHAWAKA IN MF HSG REVENUE(c) | 1/1/2038 | 5.38 | 1,000,000 | 876,700 | |||||||
615,000 | MUNSTER IN ECON DEV TAX INCR REVENUE | 7/15/2026 | 4.75 | 613,332 | 669,600 | |||||||
1,000,000 | SCHERERVILLE IN ECON DEV REVENUE | 1/15/2030 | 6.00 | 1,007,601 | 1,123,970 | |||||||
15,577,825 | 15,293,637 | 2.59% | ||||||||||
Iowa | ||||||||||||
1,500,000 | IOWA ST FIN AUTH REVENUE | 5/15/2036 | 5.00 | 1,619,556 | 1,554,270 | |||||||
1,619,556 | 1,554,270 | 0.26% | ||||||||||
Kansas | ||||||||||||
1,000,000 | FRANKLIN CNTY KS UNIF SCH DIST #290 | 9/1/2039 | 4.75 | 1,033,207 | 1,135,430 | |||||||
700,000 | WICHITA KS HLTH CARE FACS REVENUE | 12/1/2036 | 5.25 | 711,409 | 675,829 |
29 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Kansas (Cont'd): | ||||||||||||
935,000 | WYANDOTTE CNTY KS KANSAS CITY UNIF GOVT SPL OBLG REVENUE | 9/1/2032 | 5.75 | $929,241 | 946,201 | |||||||
2,673,857 | 2,757,460 | 0.47% | ||||||||||
Kentucky | ||||||||||||
735,000 | KENTUCKY ST HSG CORP HSG REVENUE | 7/1/2028 | 3.75 | 727,278 | 769,442 | |||||||
727,278 | 769,442 | 0.13% | ||||||||||
Louisiana | ||||||||||||
1,000,000 | LOUISIANA ST ENERGY & PWR AUTH PWR PROJ REVENUE | 6/1/2038 | 5.25 | 1,008,668 | 1,113,500 | |||||||
650,000 | LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH | 11/15/2025 | 5.25 | 684,664 | 658,716 | |||||||
1,000,000 | LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH | 11/15/2030 | 6.00 | 1,011,808 | 1,040,950 | |||||||
700,000 | LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(c) | 11/1/2037 | 5.65 | 700,000 | 698,418 | |||||||
1,000,000 | LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(c) | 7/1/2039 | 5.00 | 1,065,486 | 985,340 | |||||||
750,000 | LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVE(c) | 11/1/2044 | 4.40 | 750,000 | 635,483 | |||||||
700,000 | LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVENUE(c) | 11/1/2039 | 5.50 | 700,000 | 668,878 | |||||||
1,100,000 | LOUISIANA ST LOCAL GOVT ENVRNMNTL FACS & CMNTY DEV AUTH REVENUE(c) | 11/1/2044 | 4.00 | 1,100,000 | 875,237 | |||||||
500,000 | LOUISIANA ST PUBLIC FACS AUTH HOSP REVENUE | 7/1/2035 | 5.00 | 528,777 | 577,281 | |||||||
750,000 | LOUISIANA ST PUBLIC FACS AUTH REVENUE | 5/1/2031 | 6.50 | 747,604 | 791,452 | |||||||
385,000 | LOUISIANA ST PUBLIC FACS AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.70%)(f) | 2/15/2036 | 1.83 | 385,000 | 372,792 | |||||||
750,000 | SAINT TAMMANY LA PUBLIC TRUST FING AUTH | 11/15/2037 | 5.25 | 757,621 | 760,380 | |||||||
9,439,628 | 9,178,427 | 1.56% | ||||||||||
Maine | ||||||||||||
1,000,000 | MAINE ST HSG AUTH MTGE PURCHASE | 11/15/2035 | 4.00 | 1,000,000 | 1,062,990 | |||||||
1,000,000 | MAINE ST HSG AUTH MTGE PURCHASE | 11/15/2036 | 3.90 | 1,000,000 | 1,073,920 | |||||||
1,500,000 | MAINE ST HSG AUTH MTGE PURCHASE | 11/15/2040 | 3.85 | 1,500,000 | 1,580,745 | |||||||
500,000 | MAINE ST HSG AUTH MTGE PURCHASE | 11/15/2042 | 4.05 | 500,000 | 534,135 | |||||||
900,000 | MAINE ST HSG AUTH MTGE PURCHASE | 11/15/2044 | 3.10 | 900,000 | 917,829 | |||||||
430,000 | MAINE ST HSG AUTH MTGE REVENUE | 11/15/2037 | 4.50 | 430,000 | 450,180 | |||||||
5,330,000 | 5,619,799 | 0.95% | ||||||||||
Maryland | ||||||||||||
500,000 | MARYLAND ST CMNTY DEV ADMIN DEPT HSG & CMNTY DEV | 7/1/2031 | 4.50 | 500,000 | 517,455 | |||||||
500,000 | MONTGOMERY CNTY MD HSG OPPORTUNITIES COMMISSION MF REVENUE | 7/1/2037 | 5.13 | 500,000 | 503,695 | |||||||
890,000 | MONTGOMERY CNTY MD HSG OPPORTUNITIES COMMISSION SF MTGE REVENUE | 7/1/2038 | 4.00 | 890,000 | 900,956 | |||||||
1,890,000 | 1,922,106 | 0.33% | ||||||||||
Massachusetts | ||||||||||||
730,000 | MASSACHUSETTS ST DEV FIN AGY REVENUE | 7/1/2030 | 6.38 | 723,211 | 738,942 | |||||||
700,000 | MASSACHUSETTS ST DEV FIN AGY REVENUE(c) | 10/1/2047 | 5.00 | 744,980 | 687,680 | |||||||
1,500,000 | MASSACHUSETTS ST DEV FIN AGY REVENUE | 6/1/2049 | 4.00 | 1,517,222 | 1,548,090 | |||||||
250,000 | MASSACHUSETTS ST EDUCTNL FING AUTH | 1/1/2028 | 5.25 | 250,000 | 250,250 | |||||||
700,000 | MASSACHUSETTS ST HSG FIN AGY | 12/1/2033 | 5.00 | 700,000 | 755,034 |
30 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Massachusetts (Cont'd): | ||||||||||||
700,000 | MASSACHUSETTS ST HSG FIN AGY | 12/1/2038 | 5.15 | $700,000 | 752,192 | |||||||
1,000,000 | MASSACHUSETTS ST HSG FIN AGY | 12/1/2043 | 5.00 | 1,000,000 | 1,066,210 | |||||||
2,770,000 | MASSACHUSETTS ST HSG FIN AGY HSG REVENUE | 12/1/2043 | 4.00 | 2,770,000 | 2,841,937 | |||||||
1,975,000 | MASSACHUSETTS ST HSG FIN AGY HSG REVENUE | 6/1/2046 | 4.20 | 1,975,000 | 2,116,588 | |||||||
500,000 | ROWLEY MA | 5/1/2027 | 4.00 | 500,000 | 501,055 | |||||||
10,880,413 | 11,257,978 | 1.91% | ||||||||||
Michigan | ||||||||||||
275,000 | CHANDLER PARK ACADEMY MI PUBLIC SCH ACADEMY REVENUE | 11/1/2022 | 5.00 | 253,087 | 275,344 | |||||||
750,000 | MICHIGAN ST FIN AUTH REVENUE | 11/15/2035 | 5.25 | 746,007 | 771,240 | |||||||
1,850,000 | MICHIGAN ST HSG DEV AUTH | 10/1/2035 | 4.10 | 1,850,000 | 1,976,003 | |||||||
1,000,000 | MICHIGAN ST HSG DEV AUTH | 12/1/2036 | 3.70 | 1,000,000 | 1,060,960 | |||||||
600,000 | MICHIGAN ST HSG DEV AUTH | 10/1/2042 | 3.75 | 600,000 | 636,774 | |||||||
1,650,000 | MICHIGAN ST HSG DEV AUTH | 10/1/2043 | 4.00 | 1,650,000 | 1,789,870 | |||||||
1,000,000 | MICHIGAN ST HSG DEV AUTH | 10/1/2054 | 3.50 | 1,000,000 | 1,039,000 | |||||||
2,500,000 | MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE | 12/1/2038 | 4.13 | 2,500,000 | 2,758,700 | |||||||
1,000,000 | MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE | 6/1/2049 | 4.00 | 1,003,420 | 1,073,710 | |||||||
3,000,000 | MICHIGAN ST HSG DEV AUTH SF MTGE REVENUE | 6/1/2050 | 3.15 | 3,000,000 | 3,037,740 | |||||||
460,000 | MICHIGAN ST PUBLIC EDUCTNL FACS AUTH | 11/1/2028 | 6.35 | 460,000 | 460,782 | |||||||
280,000 | OAKLAND CNTY MI ECON DEV CORP LTD OBLG REVENUE | 12/1/2020 | 6.50 | 279,837 | 280,454 | |||||||
750,000 | TAYLOR MI BROWNFIELD REDEV AUTH | 5/1/2032 | 5.00 | 775,124 | 843,450 | |||||||
410,000 | UNIVERSAL ACADEMY MI PUBLIC SCH ACADEMY REVENUE | 12/1/2023 | 6.50 | 406,712 | 416,499 | |||||||
15,524,187 | 16,420,526 | 2.79% | ||||||||||
Minnesota | ||||||||||||
1,000,000 | APPLE VLY MN SENIOR LIVING REVENUE | 1/1/2047 | 5.00 | 978,335 | 647,440 | |||||||
1,000,000 | APPLE VY MN SENIOR HSG REVENUE | 9/1/2058 | 5.00 | 980,000 | 998,260 | |||||||
1,000,000 | ROCHESTER MN | 9/1/2038 | 5.13 | 1,000,000 | 911,000 | |||||||
2,958,335 | 2,556,700 | 0.43% | ||||||||||
Mississippi | ||||||||||||
1,000,000 | MISSISSIPPI ST DEV BANK SPL OBLG | 10/1/2031 | 6.50 | 980,151 | 1,014,180 | |||||||
1,000,000 | MISSISSIPPI ST DEV BANK SPL OBLG(c) | 11/1/2039 | 4.55 | 1,000,000 | 864,270 | |||||||
1,980,151 | 1,878,450 | 0.32% | ||||||||||
Missouri | ||||||||||||
485,000 | KANSAS CITY MO INDL DEV AUTH | 9/1/2023 | 5.45 | 485,000 | 485,660 | |||||||
1,300,000 | KANSAS CITY MO INDL DEV AUTH SENIOR LIVING FACS REVENUE(b)(c)(g) | 11/15/2036 | 5.75 | 1,300,000 | 905,333 | |||||||
1,000,000 | KIRKWOOD MO INDL DEV AUTH RETMNT CMNTY REVENUE | 5/15/2037 | 5.25 | 1,017,768 | 1,029,850 | |||||||
1,000,000 | MISSOURI ST HLTH & EDUCTNL FACS AUTH | 2/1/2042 | 5.00 | 907,323 | 1,029,300 | |||||||
2,000,000 | MISSOURI ST HLTH & EDUCTNL FACS AUTH | 2/1/2048 | 4.00 | 2,081,512 | 1,795,240 | |||||||
915,000 | MISSOURI ST HSG DEV COMMISSION SF MTGE REVENUE | 11/1/2048 | 3.80 | 915,000 | 970,403 | |||||||
500,000 | MISSOURI ST HSG DEV COMMISSION SF MTGE REVENUE | 11/1/2049 | 3.35 | 500,000 | 516,050 | |||||||
750,000 | MISSOURI ST HSG DEV COMMISSION SF MTGE REVENUE | 5/1/2050 | 2.85 | 750,000 | 737,610 | |||||||
750,000 | SAINT LOUIS CNTY MO INDL DEV AUTH SENIOR LIVING FACS | 9/1/2042 | 5.00 | 757,635 | 751,822 | |||||||
8,714,238 | 8,221,268 | 1.39% | ||||||||||
Montana | ||||||||||||
885,000 | MONTANA ST BRD OF HSG | 12/1/2038 | 3.75 | 885,000 | 907,329 | |||||||
560,000 | MONTANA ST BRD OF HSG | 12/1/2038 | 5.20 | 560,000 | 602,599 | |||||||
995,000 | MONTANA ST BRD OF HSG | 6/1/2045 | 4.00 | 995,000 | 1,078,550 | |||||||
895,000 | MONTANA ST BRD OF HSG SF MTGE | 12/1/2037 | 3.95 | 895,000 | 966,457 |
31 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Montana (Cont'd): | ||||||||||||
800,000 | MONTANA ST BRD OF HSG SF MTGE | 12/1/2038 | 4.00 | $801,839 | 850,776 | |||||||
4,136,839 | 4,405,711 | 0.75% | ||||||||||
Nebraska | ||||||||||||
160,000 | MEAD NE TAX INCR REVENUE(b) | 7/1/2012 | 5.13 | 160,000 | 6,640 | |||||||
570,000 | NEBRASKA ST INVESTMENT FIN AUTH SF HSG REVENUE | 9/1/2035 | 3.75 | 570,000 | 613,633 | |||||||
920,000 | NEBRASKA ST INVESTMENT FIN AUTH SF HSG REVENUE | 9/1/2042 | 3.05 | 920,000 | 937,057 | |||||||
1,000,000 | SCOTTS BLUFF CNTY NE HOSP AUTH | 2/1/2037 | 5.25 | 1,041,268 | 1,098,240 | |||||||
2,691,268 | 2,655,570 | 0.45% | ||||||||||
Nevada | ||||||||||||
900,000 | NEVADA ST HSG DIV SF MTGE REVENUE | 10/1/2039 | 3.85 | 900,000 | 939,168 | |||||||
1,000,000 | NEVADA ST HSG DIV SF MTGE REVENUE | 10/1/2049 | 3.35 | 1,000,000 | 1,031,970 | |||||||
515,000 | NORTH LAS VEGAS NV LOCAL IMPT(c) | 12/1/2027 | 4.00 | 504,339 | 498,015 | |||||||
515,000 | NORTH LAS VEGAS NV LOCAL IMPT(c) | 12/1/2037 | 5.00 | 515,971 | 516,890 | |||||||
2,920,310 | 2,986,043 | 0.51% | ||||||||||
New Hampshire | ||||||||||||
1,000,000 | NEW HAMPSHIRE ST HLTH & EDU FACS AUTH REVENUE | 1/1/2034 | 6.00 | 976,168 | 1,035,810 | |||||||
1,000,000 | NEW HAMPSHIRE ST HSG FIN AUTH MF REVENUE | 7/1/2031 | 5.20 | 1,000,000 | 1,033,810 | |||||||
1,500,000 | NEW HAMPSHIRE ST HSG FIN AUTH MF REVENUE | 7/1/2052 | 4.00 | 1,500,000 | 1,599,960 | |||||||
175,000 | NEW HAMPSHIRE ST HSG FIN AUTH SF REVENUE | 7/1/2034 | 5.38 | 175,000 | 176,218 | |||||||
3,651,168 | 3,845,798 | 0.65% | ||||||||||
New Jersey | ||||||||||||
750,000 | NEW JERSEY ST ECON DEV AUTH | 6/15/2037 | 5.00 | 777,816 | 795,533 | |||||||
500,000 | NEW JERSEY ST ECON DEV AUTH | 6/15/2042 | 5.00 | 535,605 | 522,395 | |||||||
750,000 | NEW JERSEY ST ECON DEV AUTH REVENUE | 7/15/2047 | 5.00 | 795,509 | 781,838 | |||||||
1,000,000 | NEW JERSEY ST HSG & MTGE FIN AGY MF CONDUIT REVENUE | 1/1/2030 | 3.60 | 1,000,000 | 1,039,730 | |||||||
820,000 | NEW JERSEY ST HSG & MTGE FIN AGY REVENUE | 10/1/2030 | 4.50 | 820,000 | 848,421 | |||||||
3,350,000 | NEW JERSEY ST HSG & MTGE FIN AGY REVENUE | 10/1/2035 | 3.75 | 3,350,000 | 3,685,268 | |||||||
955,000 | NEW JERSEY ST HSG & MTGE FIN AGY REVENUE | 4/1/2049 | 4.00 | 957,587 | 1,019,462 | |||||||
500,000 | NEW JERSEY ST TRANSPRTN TRUST FUND AUTH | 12/15/2039 | 4.00 | 528,435 | 490,340 | |||||||
500,000 | NEW JERSEY ST TRANSPRTN TRUST FUND AUTH | 6/15/2041 | 5.25 | 507,488 | 522,295 | |||||||
700,000 | TOBACCO SETTLEMENT FING CORP NJ | 6/1/2046 | 5.00 | 704,626 | 672,805 | |||||||
9,977,066 | 10,378,087 | 1.76% | ||||||||||
New Mexico | ||||||||||||
635,000 | NEW MEXICO ST MTGE FIN AUTH | 9/1/2042 | 3.90 | 635,000 | 648,354 | |||||||
940,000 | NEW MEXICO ST MTGE FIN AUTH | 9/1/2042 | 4.13 | 940,000 | 963,688 | |||||||
1,530,000 | NEW MEXICO ST MTGE FIN AUTH | 7/1/2043 | 3.85 | 1,530,000 | 1,636,488 | |||||||
835,000 | NEW MEXICO ST MTGE FIN AUTH | 9/1/2046 | 3.80 | 835,000 | 870,212 | |||||||
765,000 | NEW MEXICO ST MTGE FIN AUTH | 7/1/2048 | 3.90 | 765,000 | 812,736 | |||||||
1,000,000 | NEW MEXICO ST MTGE FIN AUTH | 7/1/2048 | 4.00 | 1,001,941 | 1,076,000 | |||||||
1,000,000 | NEW MEXICO ST MTGE FIN AUTH | 7/1/2049 | 3.10 | 1,000,000 | 1,013,970 | |||||||
990,000 | NEW MEXICO ST MTGE FIN AUTH | 7/1/2049 | 3.35 | 990,000 | 1,022,809 | |||||||
985,000 | NEW MEXICO ST MTGE FIN AUTH | 7/1/2049 | 4.00 | 985,000 | 1,062,618 | |||||||
900,000 | NEW MEXICO ST MTGE FIN AUTH | 7/1/2050 | 3.00 | 902,226 | 904,707 | |||||||
9,584,167 | 10,011,582 | 1.70% | ||||||||||
New York | ||||||||||||
750,000 | HEMPSTEAD TOWN NY LOCAL DEV CORP REVENUE | 9/1/2038 | 5.00 | 753,013 | 828,405 | |||||||
1,250,000 | MONROE CNTY NY INDL DEV CORP REVENUE | 1/1/2050 | 5.00 | 1,339,711 | 1,100,937 | |||||||
1,000,000 | NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE | 11/1/2037 | 3.80 | 1,000,000 | 1,023,510 |
32 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
New York (Cont'd): | ||||||||||||
1,000,000 | NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE | 11/1/2039 | 4.30 | $1,000,000 | 1,047,190 | |||||||
600,000 | NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE | 11/1/2042 | 3.85 | 601,534 | 634,782 | |||||||
3,000,000 | NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE | 5/1/2045 | 3.90 | 2,838,750 | 3,095,370 | |||||||
1,000,000 | NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE | 11/1/2047 | 3.65 | 1,000,000 | 1,035,790 | |||||||
1,000,000 | NEW YORK CITY NY HSG DEV CORP MF HSG REVENUE | 11/1/2049 | 3.95 | 1,000,000 | 1,063,070 | |||||||
2,000,000 | NEW YORK CITY NY MUNI WTR FIN AUTH WTR & SWR SYS REVENUE | 6/15/2038 | 5.00 | 2,092,002 | 2,203,920 | |||||||
1,000,000 | NEW YORK ST HSG FIN AGY | 11/1/2041 | 4.10 | 1,000,000 | 1,075,440 | |||||||
1,000,000 | NEW YORK ST HSG FIN AGY | 11/1/2042 | 4.00 | 1,000,000 | 1,068,610 | |||||||
1,000,000 | NEW YORK ST HSG FIN AGY | 11/1/2048 | 3.95 | 1,000,000 | 1,066,480 | |||||||
1,500,000 | NEW YORK ST HSG FIN AGY REVENUE | 11/1/2034 | 3.65 | 1,500,000 | 1,569,735 | |||||||
500,000 | NEW YORK ST HSG FIN AGY REVENUE | 11/1/2045 | 5.10 | 500,000 | 532,880 | |||||||
4,000,000 | NEW YORK ST HSG FIN AGY REVENUE | 5/1/2048 | 4.10 | 4,000,000 | 4,096,680 | |||||||
930,000 | NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE | 10/1/2036 | 3.90 | 930,000 | 999,890 | |||||||
435,000 | NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE | 10/1/2042 | 3.75 | 435,000 | 444,122 | |||||||
1,000,000 | NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE | 10/1/2043 | 4.20 | 1,000,000 | 1,101,810 | |||||||
1,490,000 | NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE | 10/1/2048 | 3.80 | 1,490,000 | 1,574,140 | |||||||
2,000,000 | NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE | 10/1/2049 | 2.95 | 2,000,000 | 2,004,340 | |||||||
1,500,000 | NEW YORK ST MTGE AGY HOMEOWNER MTGE REVENUE | 4/1/2050 | 2.55 | 1,500,000 | 1,386,150 | |||||||
550,000 | WESTCHESTER CO NY LOCAL DEV CORP REVENUE | 1/1/2034 | 5.00 | 563,168 | 560,555 | |||||||
28,543,178 | 29,513,806 | 5.01% | ||||||||||
North Carolina | ||||||||||||
1,750,000 | MECKLENBURG CNTY NC MF HSG REVENUE | 1/1/2036 | 5.38 | 1,750,000 | 1,764,455 | |||||||
975,000 | NORTH CAROLINA ST HSG FIN AGY HOME OWNERSHIP REVENUE | 1/1/2041 | 3.95 | 986,518 | 1,048,447 | |||||||
965,000 | NORTH CAROLINA ST HSG FIN AGY HOME OWNERSHIP REVENUE | 1/1/2048 | 4.00 | 965,000 | 1,034,605 | |||||||
600,000 | NORTH CAROLINA ST MED CARE COMMISSION RETMNT FACS REVENUE | 10/1/2038 | 5.00 | 596,386 | 580,314 | |||||||
4,297,904 | 4,427,821 | 0.75% | ||||||||||
Ohio | ||||||||||||
600,000 | BRYAN OH CITY SCH DIST | 12/15/2034 | 4.00 | 610,062 | 612,480 | |||||||
750,000 | BUTLER CNTY OH PORT AUTH PUBLIC INFRASTRUCTURE REVENUE | 12/1/2041 | 5.00 | 764,760 | 762,165 | |||||||
1,500,000 | COLUMBUS-FRANKLIN CNTY OH FIN AUTH DEV REVENUE | 5/15/2049 | 4.00 | 1,600,348 | 1,451,010 | |||||||
500,000 | COVENTRY OH LOCAL SCH DIST | 11/1/2037 | 5.25 | 501,876 | 529,595 | |||||||
1,000,000 | DAYTON-MONTGOMERY CNTY OH PORT AUTH PROJ REVENUE | 1/15/2040 | 7.00 | 1,000,000 | 880,680 | |||||||
890,000 | HAMILTON CNTY OH HLTH CARE REVENUE | 1/1/2031 | 6.13 | 872,849 | 918,613 | |||||||
750,000 | LAKE CNTY OH PORT & ECON DEV AUTH LEASE REVENUE(c) | 12/1/2037 | 6.50 | 750,000 | 600,593 | |||||||
500,000 | LUCAS CNTY OH HLTH CARE FACS REVENUE | 8/15/2030 | 5.50 | 494,137 | 519,510 | |||||||
1,500,000 | LUCAS MET HSG AUTH OH COPS | 11/1/2036 | 5.00 | 1,551,577 | 1,655,970 | |||||||
2,000,000 | OHIO ST HGR EDUCTNL FAC COMMISSION | 11/1/2049 | 4.00 | 2,041,518 | 1,811,800 | |||||||
870,000 | OHIO ST HSG FIN AGY RSDL MTGE REVENUE | 9/1/2039 | 3.35 | 783,185 | 909,881 | |||||||
1,420,000 | OHIO ST HSG FIN AGY RSDL MTGE REVENUE | 9/1/2048 | 4.00 | 1,420,000 | 1,518,548 | |||||||
1,490,000 | OHIO ST HSG FIN AGY RSDL MTGE REVENUE | 3/1/2049 | 4.00 | 1,490,000 | 1,598,472 | |||||||
1,000,000 | OHIO ST HSG FIN AGY RSDL MTGE REVENUE | 9/1/2049 | 3.35 | 1,000,000 | 1,031,790 |
33 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Ohio (Cont'd): | ||||||||||||
1,000,000 | OHIO ST HSG FIN AGY RSDL MTGE REVENUE | 3/1/2050 | 3.00 | $1,000,000 | 1,005,400 | |||||||
1,000,000 | REVERE OH LOCAL SCH DIST | 12/1/2043 | 4.00 | 1,053,125 | 1,050,450 | |||||||
16,933,437 | 16,856,957 | 2.86% | ||||||||||
Oklahoma | ||||||||||||
1,090,000 | FORT SILL APACHE TRIBE OK ECONDEV AUTH GAMING ENTERPRISE REV(c) | 8/25/2026 | 8.50 | 1,090,000 | 1,183,555 | |||||||
2,000,000 | OKLAHOMA ST DEV FIN AUTH | 8/1/2049 | 5.00 | 2,230,268 | 2,146,440 | |||||||
3,320,268 | 3,329,995 | 0.56% | ||||||||||
Oregon | ||||||||||||
1,000,000 | CLACKAMAS CNTY OR HOSP FAC AUTH REVENUE | 11/15/2052 | 5.00 | 1,041,867 | 1,031,900 | |||||||
1,000,000 | MEDFORD OR HOSP FACS AUTH REVENUE | 10/1/2042 | 5.00 | 1,020,885 | 1,060,650 | |||||||
500,000 | MULTNOMAH CNTY OR HOSP FACS AUTH REVENUE | 12/1/2029 | 5.00 | 512,521 | 512,490 | |||||||
2,000,000 | OREGON ST | 12/1/2039 | 3.90 | 2,000,000 | 2,076,500 | |||||||
575,000 | OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE | 7/1/2035 | 3.75 | 575,000 | 624,019 | |||||||
745,000 | OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE | 7/1/2038 | 4.00 | 745,000 | 769,488 | |||||||
1,265,000 | OREGON ST HSG & CMNTY SVCS DEPT MTGE REVENUE | 7/1/2048 | 3.75 | 1,265,000 | 1,330,641 | |||||||
1,500,000 | POLK CNTY OR HOSP FAC AUTH REVENUE | 7/1/2035 | 5.13 | 1,528,757 | 1,342,290 | |||||||
8,689,030 | 8,747,978 | 1.48% | ||||||||||
Pennsylvania | ||||||||||||
545,000 | ALLEGHENY CNTY PA INDL DEV AUTH CHRT SCH REVENUE | 8/15/2026 | 5.90 | 545,000 | 550,270 | |||||||
380,000 | BUTLER CNTY PA GEN AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.70%)(f) | 10/1/2034 | 1.66 | 380,000 | 358,515 | |||||||
1,000,000 | CENTRL BRADFORD PROGRESS AUTH PA | 12/1/2031 | 5.50 | 1,007,884 | 1,071,130 | |||||||
650,000 | CMWLTH FING AUTH PA TOBACCO MASTER SETTLEMENT PAYMENT REVENUE | 6/1/2039 | 4.00 | 646,963 | 707,648 | |||||||
600,000 | DAUPHIN CNTY PA GEN AUTH UNIV REVENUE(c) | 10/15/2022 | 4.00 | 599,234 | 596,562 | |||||||
1,250,000 | MONTGOMERY CNTY PA INDL DEV AUTH | 11/15/2036 | 5.00 | 1,264,052 | 1,276,050 | |||||||
2,500,000 | PENNSYLVANIA HGR EDU ASSISTANCE AGY LOAN REVENUE | 6/1/2041 | 2.45 | 2,500,000 | 2,176,700 | |||||||
1,700,000 | PENNSYLVANIA HGR EDU ASSISTANCE AGY LOAN REVENUE | 6/1/2047 | 3.00 | 1,700,000 | 1,512,609 | |||||||
500,000 | PENNSYLVANIA ST HGR EDUCTNL FACS AUTH REVENUE (Floating, ICE LIBOR USD 3M + 0.65%)(f) | 7/1/2039 | 1.61 | 500,000 | 463,840 | |||||||
1,000,000 | PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE | 10/1/2038 | 3.95 | 1,000,000 | 1,081,220 | |||||||
440,000 | PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE | 10/1/2038 | 4.00 | 440,000 | 454,049 | |||||||
1,125,000 | PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE | 10/1/2040 | 4.05 | 1,125,000 | 1,125,000 | |||||||
1,835,000 | PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE | 10/1/2042 | 3.65 | 1,835,000 | 1,931,026 | |||||||
535,000 | PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE | 10/1/2042 | 3.70 | 535,000 | 542,292 | |||||||
1,400,000 | PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE | 10/1/2046 | 3.00 | 1,400,000 | 1,413,188 | |||||||
495,000 | PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE | 10/1/2047 | 4.00 | 495,000 | 521,676 | |||||||
1,000,000 | PENNSYLVANIA ST HSG FIN AGY SF MTGE REVENUE | 10/1/2049 | 3.40 | 1,000,000 | 1,035,700 | |||||||
1,500,000 | PENNSYLVANIA ST TURNPIKE COMMISSION TURNPIKE REVENUE (Step to 4.60% on 12/1/2021)(d) | 12/1/2037 | 0.00 | 1,386,921 | 1,612,335 | |||||||
300,000 | PHILADELPHIA PA AUTH FOR INDL DEV REVENUES | 6/15/2023 | 6.13 | 300,000 | 308,784 |
34 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Pennsylvania (Cont'd): | ||||||||||||
750,000 | PHILADELPHIA PA AUTH FOR INDL DEV REVENUES | 8/1/2036 | 5.63 | $740,105 | 755,685 | |||||||
750,000 | PHILADELPHIA PA AUTH FOR INDL DEV REVENUES | 6/15/2049 | 5.00 | 780,352 | 701,910 | |||||||
20,180,511 | 20,196,189 | 3.43% | ||||||||||
Puerto Rico | ||||||||||||
1,500,000 | PUERTO RICO CMWLTH | 7/1/2035 | 5.00 | 1,500,000 | 1,512,240 | |||||||
1,500,000 | 1,512,240 | 0.26% | ||||||||||
Rhode Island | ||||||||||||
665,000 | RHODE ISLAND ST HSG & MTGE FIN CORP | 10/1/2028 | 4.00 | 662,609 | 677,409 | |||||||
750,000 | RHODE ISLAND ST HSG & MTGE FIN CORP | 10/1/2037 | 3.90 | 750,000 | 772,942 | |||||||
1,412,609 | 1,450,351 | 0.25% | ||||||||||
South Carolina | ||||||||||||
650,000 | BERKELEY CNTY SC ASSMNT REVENUE | 11/1/2040 | 4.25 | 647,331 | 545,662 | |||||||
170,000 | SOUTH CAROLINA ST EDU ASSISTANCE AUTH | 10/1/2029 | 5.10 | 168,733 | 170,093 | |||||||
665,000 | SOUTH CAROLINA ST JOBS-ECON DEV AUTH ECON DEV REVENUE | 4/1/2054 | 4.00 | 688,825 | 554,923 | |||||||
1,000,000 | SOUTH CAROLINA ST PUBLIC SVC AUTH REVENUE | 12/1/2038 | 5.00 | 1,036,063 | 1,095,130 | |||||||
1,400,000 | SOUTH CAROLINA ST PUBLIC SVC AUTH REVENUE | 12/1/2043 | 5.75 | 1,439,441 | 1,627,094 | |||||||
3,980,393 | 3,992,902 | 0.68% | ||||||||||
South Dakota | ||||||||||||
500,000 | SOUTH DAKOTA ST HLTH & EDUCTNL FACS AUTH | 9/1/2032 | 5.00 | 499,500 | 505,605 | |||||||
499,500 | 505,605 | 0.09% | ||||||||||
Tennessee | ||||||||||||
1,000,000 | FRANKLIN TN HLTH & EDUCTNL FACS BRD REVENUE(c) | 6/1/2027 | 6.50 | 1,000,000 | 1,048,800 | |||||||
600,000 | NASHVILLE MET DEV & HSG AGY TN TAX INCR REVENUE(c) | 6/1/2036 | 5.13 | 600,000 | 611,382 | |||||||
1,350,000 | SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD RETMNT FACS REV | 10/1/2039 | 5.50 | 1,341,912 | 1,321,569 | |||||||
150,000 | SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD REVENUE(b) | 1/1/2019 | 5.35 | 134,966 | 375 | |||||||
625,000 | SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD REVENUE(b) | 1/1/2029 | 5.55 | 556,862 | 1,563 | |||||||
130,000 | SHELBY CNTY TN HLTH EDUCTNL & HSG FACS BRD REVENUE(b) | 1/1/2029 | 6.00 | - | 1 | |||||||
720,000 | TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE | 1/1/2031 | 3.60 | 724,866 | 745,783 | |||||||
980,000 | TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE | 7/1/2042 | 3.85 | 980,000 | 1,073,276 | |||||||
980,000 | TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE | 7/1/2042 | 3.90 | 980,000 | 1,062,937 | |||||||
2,000,000 | TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE | 7/1/2044 | 4.00 | 2,013,894 | 2,213,520 | |||||||
990,000 | TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE | 1/1/2049 | 3.95 | 990,000 | 1,054,301 | |||||||
1,970,000 | TENNESSEE HSG DEV AGY RSDL FING PROGRAM REVENUE | 1/1/2049 | 4.05 | 1,970,000 | 2,125,039 | |||||||
490,000 | TENNESSEE ST HSG DEV AGY | 1/1/2035 | 3.85 | 490,000 | 511,438 | |||||||
11,782,500 | 11,769,984 | 2.00% | ||||||||||
Texas | ||||||||||||
1,750,000 | ARLINGTON TX HGR EDU FIN CORP EDU REVENUE | 8/15/2028 | 7.00 | 1,720,349 | 1,786,400 | |||||||
500,000 | ARLINGTON TX HGR EDU FIN CORP EDU REVENUE | 6/15/2036 | 5.00 | 503,621 | 484,840 | |||||||
650,000 | ARLINGTON TX SPL TAX REVENUE | 2/15/2041 | 5.00 | 693,288 | 726,044 | |||||||
835,000 | BEXAR CNTY TX HSG FIN CORP(f)(h) | 2/1/2035 | 3.75 | 835,000 | 869,995 | |||||||
2,000,000 | BEXAR CNTY TX REVENUE | 8/15/2039 | 5.00 | 2,048,028 | 2,147,980 | |||||||
675,000 | BRAZORIA CNTY TX MUNI UTILITYDIST #28 | 9/1/2032 | 4.00 | 700,721 | 694,697 | |||||||
1,000,000 | BRAZOS TX HGR EDU AUTH STUDENT LOAN PROGRAM REVENUE | 4/1/2040 | 3.00 | 1,004,299 | 903,100 |
35 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Texas (Cont'd): | ||||||||||||
4,000,000 | CAPITAL AREA TX CULTURAL EDU FACS FIN CORP REVENUE(f)(h) | 4/1/2045 | 6.13 | $4,000,000 | 4,028,520 | |||||||
1,000,000 | DALLAS-FORT WORTH TX INTERNATIONAL ARPT REVENUE | 11/1/2037 | 5.25 | 1,005,177 | 1,092,550 | |||||||
1,350,000 | DANBURY TX HGR EDU AUTH INC EDU REVENUE | 8/15/2049 | 5.13 | 1,414,253 | 1,398,478 | |||||||
1,500,000 | EL PASO CNTY TX HOSP DIST | 8/15/2043 | 5.00 | 1,595,564 | 1,612,020 | |||||||
1,000,000 | EL PASO TX DOWNTOWN DEV CORP SPL REVENUE | 8/15/2038 | 7.25 | 1,039,194 | 1,190,530 | |||||||
550,000 | FALLBROOK TX UTILITY DIST | 9/1/2024 | 4.00 | 554,550 | 550,044 | |||||||
1,000,000 | FORT BEND CNTY TX MUNI UTILITY DIST #23 | 9/1/2033 | 4.00 | 1,037,818 | 1,032,790 | |||||||
610,000 | FORT BEND CNTY TX MUNI UTILITY DIST #50 | 9/1/2029 | 4.00 | 633,069 | 627,013 | |||||||
800,000 | GILMER TX ECON DEV CORP SALES TAX REVENUE | 7/15/2030 | 5.00 | 838,500 | 832,704 | |||||||
1,500,000 | GRAND PARKWAY TRANSPRTN CORP TX SYS TOLL REVENUE (Step to 5.50% on 10/1/2023)(d) | 10/1/2035 | 0.00 | 1,239,498 | 1,658,430 | |||||||
560,000 | HARRIS CNTY TX MUNI UTILITY DIST #400 | 9/1/2033 | 4.00 | 581,185 | 577,567 | |||||||
1,000,000 | HIDALGO CNTY TX REGL MOBILITY AUTH VEHICLE REGISTRATION FEE | 12/1/2038 | 5.25 | 1,015,292 | 1,132,780 | |||||||
1,500,000 | HOUSTON TX HGR EDU FIN CORP | 9/1/2038 | 5.50 | 1,516,830 | 1,642,920 | |||||||
750,000 | LEWISVILLE TX COMB CONTRACT REVENUE | 9/1/2024 | 3.00 | 745,391 | 771,600 | |||||||
1,000,000 | MEADOWHILL TX REGL MUNI UTILITY DIST | 10/1/2034 | 4.00 | 1,063,717 | 1,051,190 | |||||||
273,000 | N CENTRL TEXAS ST HLTH FAC DEV CORP | 2/15/2025 | 5.38 | 273,000 | 271,886 | |||||||
1,000,000 | N TX TOLLWAY AUTH REVENUE | 1/1/2034 | 6.00 | 1,000,000 | 1,036,190 | |||||||
1,000,000 | N TX TOLLWAY AUTH REVENUE | 1/1/2042 | 6.20 | 998,992 | 1,206,720 | |||||||
1,000,000 | NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE | 10/1/2034 | 5.00 | 1,006,167 | 935,310 | |||||||
750,000 | NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE | 1/1/2035 | 5.50 | 759,972 | 740,985 | |||||||
1,100,000 | NEW HOPE CULTURAL ED FACS FIN CORP TX RETIREMENT FAC REVENUE | 1/1/2055 | 5.00 | 1,148,159 | 928,884 | |||||||
750,000 | NEW HOPE CULTURAL EDU FACS FIN CORP TX EDU REVENUE(c) | 8/15/2036 | 5.00 | 752,645 | 702,128 | |||||||
1,000,000 | NEW HOPE CULTURAL EDU FACS FIN CORP TX EDU REVENUE | 8/15/2036 | 5.50 | 1,002,192 | 1,011,090 | |||||||
1,000,000 | NEW HOPE CULTURAL EDU FACS FIN CORP TX EDU REVENUE(c) | 8/15/2037 | 6.00 | 1,015,867 | 964,410 | |||||||
670,000 | NEW HOPE CULTURAL EDU FACS FIN CORP TX EDU REVENUE(c) | 8/15/2049 | 5.00 | 696,634 | 646,965 | |||||||
1,100,000 | NEW HOPE CULTURAL EDU FACS FIN CORP TX STUDENT HSG REV | 4/1/2046 | 5.00 | 1,131,243 | 1,209,802 | |||||||
750,000 | RED RIVER TX HLTH FACS DEV CORP RETIREMENT FAC REVENUE | 11/15/2034 | 7.50 | 746,623 | 810,390 | |||||||
1,000,000 | SUGAR LAND TX DEV CORP SALES TAX REVENUE | 2/15/2033 | 5.00 | 1,044,824 | 1,098,930 | |||||||
1,000,000 | TARRANT CNTY TX CULTURAL EDU FACS FIN CORP HOSP REVENUE | 11/15/2038 | 5.00 | 1,039,471 | 1,083,510 | |||||||
1,000,000 | TARRANT CNTY TX CULTURAL EDU FACS FIN CORP RETMNT FAC REVENUE(b) | 11/15/2022 | 5.50 | 1,000,000 | 700,000 | |||||||
750,000 | TARRANT CNTY TX CULTURAL EDU FACS FIN CORP RETMNT FAC REVENUE | 11/15/2024 | 5.63 | 750,000 | 750,345 | |||||||
750,000 | TARRANT CNTY TX CULTURAL EDU FACS FIN CORP RETMNT FAC REVENUE | 11/15/2035 | 5.00 | 770,306 | 669,000 | |||||||
1,485,000 | TARRANT CNTY TX CULTURAL EDU FACS FIN CORP RETMNT FAC REVENUE | 11/15/2037 | 6.63 | 1,505,562 | 1,577,723 | |||||||
970,000 | TEXAS ST AFFORDABLE HSG CORP SF MTGE REVENUE | 3/1/2050 | 4.00 | 993,370 | 1,046,892 | |||||||
2,000,000 | TEXAS ST DEPT OF HSG & CMNTY AFFAIRS | 9/1/2044 | 3.63 | 2,045,916 | 2,166,620 |
36 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Texas (Cont'd): | ||||||||||||
1,000,000 | TEXAS ST DEPT OF HSG & CMNTY AFFAIRS | 9/1/2048 | 4.25 | $1,017,820 | 1,089,410 | |||||||
46,484,107 | 47,459,382 | 8.05% | ||||||||||
Utah | ||||||||||||
1,000,000 | UTAH ST CHRT SCH FIN AUTH CHRT SCH REVENUE(c) | 7/15/2033 | 4.65 | 990,186 | 925,880 | |||||||
1,000,000 | UTAH ST CHRT SCH FIN AUTH CHRT SCH REVENUE | 10/15/2033 | 6.50 | 1,000,000 | 1,002,080 | |||||||
1,000,000 | UTAH ST CHRT SCH FIN AUTH CHRT SCH REVENUE(c) | 4/15/2045 | 6.00 | 1,000,349 | 1,000,150 | |||||||
90,000 | UTAH ST HSG CORP SF MTGE REVENUE | 1/1/2033 | 5.75 | 90,000 | 90,977 | |||||||
1,500,000 | WEST VLY CITY UT MUNI BLDG AUTH LEASE REVENUE | 2/1/2039 | 5.00 | 1,635,613 | 1,772,205 | |||||||
4,716,148 | 4,791,292 | 0.81% | ||||||||||
Vermont | ||||||||||||
680,000 | VERMONT ST HSG FIN AGY | 5/1/2032 | 4.88 | 677,477 | 730,789 | |||||||
500,000 | VERMONT ST HSG FIN AGY | 5/1/2046 | 2.65 | 500,000 | 475,550 | |||||||
1,177,477 | 1,206,339 | 0.20% | ||||||||||
Virginia | ||||||||||||
500,000 | FAIRFAX CNTY VA REDEV & HSG AUTH MF REVENUE | 8/1/2039 | 5.60 | 500,000 | 501,270 | |||||||
462,000 | MARQUIS VA CMNTY DEV AUTH REVENUE(e) | 9/1/2041 | 0.00 | 155,109 | 21,456 | |||||||
349,000 | MARQUIS VA CMNTY DEV AUTH REVENUE | 9/1/2041 | 5.63 | 374,099 | 195,384 | |||||||
1,000,000 | VIRGINIA ST HSG DEV AUTH | 7/1/2033 | 4.13 | 1,000,000 | 1,051,390 | |||||||
3,500,000 | VIRGINIA ST HSG DEV AUTH CMWLTH MTGE | 1/1/2038 | 3.88 | 3,490,250 | 3,625,265 | |||||||
5,519,458 | 5,394,765 | 0.91% | ||||||||||
Washington | ||||||||||||
700,000 | KALISPEL TRIBE OF INDIANS PRIORITY DIST WA REVENUE(c) | 1/1/2038 | 5.25 | 686,504 | 744,324 | |||||||
550,000 | KING CNTY WA HSG AUTH | 5/1/2028 | 5.20 | 550,000 | 557,794 | |||||||
1,500,000 | KING CNTY WA HSG AUTH | 11/1/2039 | 3.00 | 1,467,291 | 1,551,525 | |||||||
1,000,000 | PIKE PLACE MARKET WA PRESERVATION & DEV AUTH SPL OBLG | 12/1/2040 | 5.00 | 1,048,183 | 1,152,190 | |||||||
770,000 | SEATTLE WA HSG AUTH POOLED HSG REVENUE | 9/15/2033 | 5.75 | 777,177 | 860,814 | |||||||
500,000 | SNOHOMISH CNTY WA HSG AUTH | 4/1/2044 | 4.00 | 508,320 | 540,835 | |||||||
1,000,000 | VANCOUVER WA HSG AUTH | 8/1/2034 | 3.75 | 983,639 | 1,076,500 | |||||||
1,500,000 | VANCOUVER WA HSG AUTH | 12/1/2051 | 3.30 | 1,500,000 | 1,537,620 | |||||||
530,000 | WASHINGTON ST HSG FIN COMMISSION(c) | 7/1/2025 | 6.00 | 532,341 | 548,465 | |||||||
1,000,000 | WASHINGTON ST HSG FIN COMMISSION(c) | 1/1/2031 | 5.00 | 1,001,379 | 1,014,220 | |||||||
750,000 | WASHINGTON ST HSG FIN COMMISSION(c) | 7/1/2031 | 5.00 | 791,408 | 758,767 | |||||||
675,000 | WASHINGTON ST HSG FIN COMMISSION(c) | 1/1/2035 | 5.75 | 675,000 | 676,877 | |||||||
600,000 | WASHINGTON ST HSG FIN COMMISSION(c) | 7/1/2036 | 5.00 | 630,158 | 581,142 | |||||||
500,000 | WASHINGTON ST HSG FIN COMMISSION(c) | 1/1/2038 | 5.00 | 539,581 | 529,690 | |||||||
1,000,000 | WASHINGTON ST HSG FIN COMMISSION(c) | 1/1/2044 | 5.00 | 1,087,504 | 991,680 | |||||||
1,000,000 | WASHINGTON ST HSG FIN COMMISSION(c) | 7/1/2048 | 5.00 | 1,096,866 | 890,680 | |||||||
13,875,351 | 14,013,123 | 2.38% | ||||||||||
West Virginia | ||||||||||||
1,500,000 | WEST VIRGINIA ST HSG DEV FUND | 11/1/2032 | 3.75 | 1,500,000 | 1,603,275 | |||||||
1,500,000 | 1,603,275 | 0.27% | ||||||||||
Wisconsin | ||||||||||||
200,000 | PUBLIC FIN AUTH WI CCRC REVENUE(c) | 6/1/2020 | 7.00 | 199,918 | 201,212 | |||||||
1,500,000 | PUBLIC FIN AUTH WI CCRC REVENUE(c) | 6/1/2046 | 8.25 | 1,536,216 | 1,597,995 | |||||||
16,520 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2046 | 0.00 | 1,048 | 410 |
37 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Wisconsin (Cont'd): | ||||||||||||
18,299 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2047 | 0.00 | $1,129 | 438 | |||||||
17,930 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2048 | 0.00 | 1,084 | 425 | |||||||
17,786 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2049 | 0.00 | 1,052 | 413 | |||||||
17,496 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2050 | 0.00 | 1,013 | 391 | |||||||
18,980 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2051 | 0.00 | 1,077 | 418 | |||||||
446,246 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(f)(h) | 7/1/2051 | 3.75 | 443,916 | 310,511 | |||||||
19,357 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2052 | 0.00 | 1,075 | 411 | |||||||
19,095 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2053 | 0.00 | 1,040 | 399 | |||||||
18,909 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2054 | 0.00 | 1,011 | 385 | |||||||
18,634 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2055 | 0.00 | 978 | 372 | |||||||
18,360 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2056 | 0.00 | 947 | 361 | |||||||
98,139 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c) | 7/1/2056 | 5.50 | 97,967 | 76,004 | |||||||
18,454 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2057 | 0.00 | 1,720 | 354 | |||||||
18,165 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2058 | 0.00 | 900 | 341 | |||||||
17,992 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2059 | 0.00 | 877 | 332 | |||||||
17,834 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2060 | 0.00 | 855 | 318 | |||||||
17,573 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2061 | 0.00 | 829 | 305 | |||||||
17,400 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2062 | 0.00 | 810 | 295 | |||||||
17,125 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2063 | 0.00 | 785 | 284 | |||||||
16,967 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2064 | 0.00 | 767 | 277 | |||||||
16,823 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2065 | 0.00 | 750 | 266 | |||||||
16,731 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2066 | 0.00 | 735 | 251 | |||||||
215,987 | PUBLIC FIN AUTH WI CONFERENCE CENTER & HOTEL REVENUE(c)(e) | 1/1/2067 | 0.00 | 8,986 | 3,019 | |||||||
535,000 | PUBLIC FIN AUTH WI REVENUE | 4/1/2025 | 5.00 | 537,341 | 549,868 | |||||||
1,250,000 | PUBLIC FIN AUTH WI REVENUE(c) | 11/1/2028 | 6.25 | 1,250,000 | 1,385,862 | |||||||
600,000 | PUBLIC FIN AUTH WI REVENUE | 4/1/2032 | 5.50 | 600,000 | 618,156 | |||||||
1,000,000 | PUBLIC FIN AUTH WI REVENUE(c) | 1/1/2033 | 6.13 | 989,027 | 1,048,650 | |||||||
341,645 | PUBLIC FIN AUTH WI REVENUE(e) | 10/1/2042 | 0.00 | 376,279 | 53,822 | |||||||
515,000 | PUBLIC FIN AUTH WI REVENUE | 10/1/2042 | 7.00 | 529,819 | 456,929 | |||||||
13,694 | PUBLIC FIN AUTH WI REVENUE(c) | 12/1/2048 | 5.50 | 13,694 | 13,694 | |||||||
1,195,000 | PUBLIC FIN AUTH WI SENIOR LIVING REVENUE(c) | 11/15/2024 | 5.00 | 1,193,097 | 1,205,480 | |||||||
520,000 | PUBLIC FIN AUTH WIS ED REVENUE(c) | 6/15/2049 | 5.00 | 526,890 | 493,220 | |||||||
500,000 | WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 8/1/2032 | 5.00 | 543,095 | 477,790 | |||||||
1,300,000 | WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 8/15/2032 | 5.00 | 1,380,979 | 1,486,160 | |||||||
700,000 | WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 6/1/2037 | 5.00 | 732,375 | 656,950 | |||||||
500,000 | WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 9/15/2040 | 5.00 | 513,698 | 497,450 | |||||||
2,000,000 | WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 8/15/2043 | 5.00 | 2,053,020 | 2,142,020 | |||||||
1,400,000 | WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 9/15/2045 | 5.00 | 1,436,082 | 1,366,484 | |||||||
650,000 | WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 11/1/2046 | 5.00 | 673,483 | 614,380 |
38 | (Continued) |
Par/Shares | Security | Maturity date | Coupon rate | Cost | Fair value (a) | Percent of net assets | ||||||
Wisconsin (Cont'd): | ||||||||||||
2,000,000 | WISCONSIN ST HLTH & EDUCTNL FACS AUTH REVENUE | 10/1/2048 | 5.13 | $1,963,239 | 1,943,100 | |||||||
500,000 | WISCONSIN ST HSG & ECON DEV AUTH | 11/1/2035 | 3.88 | 500,000 | 531,530 | |||||||
1,000,000 | WISCONSIN ST HSG & ECON DEV AUTH | 11/1/2040 | 4.00 | 1,000,000 | 1,063,030 | |||||||
1,000,000 | WISCONSIN ST HSG & ECON DEV AUTH | 11/1/2042 | 3.90 | 1,003,926 | 1,074,010 | |||||||
2,000,000 | WISCONSIN ST HSG & ECON DEV AUTH | 11/1/2049 | 3.20 | 2,000,000 | 2,087,960 | |||||||
1,500,000 | WISCONSIN ST HSG & ECON DEV AUTH | 5/1/2055 | 4.15 | 1,500,000 | 1,603,935 | |||||||
23,623,529 | 23,566,667 | 4.00% | ||||||||||
Wyoming | ||||||||||||
1,000,000 | NATRONA CNTY WY HOSP REVENUE | 9/15/2031 | 6.35 | 1,000,000 | 1,048,930 | |||||||
630,000 | WYOMING ST CMNTY DEV AUTH HSG REVENUE | 12/1/2038 | 3.90 | 630,000 | 679,984 | |||||||
1,645,000 | WYOMING ST CMNTY DEV AUTH HSG REVENUE | 12/1/2038 | 4.05 | 1,645,000 | 1,702,723 | |||||||
3,275,000 | 3,431,637 | 0.58% | ||||||||||
Sub-total Municipal Bonds: | 531,379,395 | 540,364,023 | 91.69% | |||||||||
Short-Term Investments: | ||||||||||||
11,388,849 | NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, 0.37%(i) | 11,388,849 | 11,388,849 | |||||||||
Sub-total Short-Term Investments: | 11,388,849 | 11,388,849 | 1.93% | |||||||||
Grand total | $574,435,257 | 582,904,614 | 98.91% |
Notes to Schedule of Investments: | |
(a) | Investments in U.S. and foreign securities generally are valued at the last sales price or the regular trading session closing price on the principal exchange or market in which such securities are traded. Foreign security values are stated in U.S. dollars. Debt securities are valued at the market price supplied by an independent pricing vendor provided such prices are believed to reflect the fair value of such securities. |
(b) | Non-income producing assets. For long-term debt securities, item identified is in default as to payment of interest and/or principal. |
(c) | Securities 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. The value of these securities is determined by valuations supplied by a pricing service or brokers, or, if not available, in accordance with procedures established by the Board of Trustees. |
(d) | For step bonds, the coupon rate disclosed is the current rate in effect. |
(e) | Zero coupon bond. |
(f) | Variable rate security. Rate as of March 31, 2020 is disclosed. |
(g) | Restricted security that has been deemed illiquid. At March 31, 2020, the value of these restricted illiquid securities amounted to $4,681,623 or 0.79% of net assets. Additional information on these restricted illiquid securities is as follows: |
SECURITY | AQUISITION DATE | ACQUISITION COST |
CAPITAL TRUST AGY FL REVENUE, 6.75%, 12/1/35 | 12/2/15-1/21/16 | $ 1,748,875 |
CAPITAL TRUST AGY FL REVENUE, 6.75%, 7/1/37 | 6/28/17 | 750,000 |
COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV, 7.25%, 5/15/26 | 12/16/13 | 750,000 |
COLLIER CNTY FLA INDL DEV AUTH CONTINUING CARE CMNTY REV, 8.13%, 5/15/44 | 6/27/17-4/12/18 | 1,961,290 |
KANSAS CITY MO INDL DEV AUTH SENIOR LIVING FACS REVENUE, 5.75%, 11/15/36 | 12/18/15 | 1,300,000 |
(h) | These securities are remarketed by an agent, and the rate at which these securities are set are determined by general market conditions and supply and demand. |
(i) | The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2019, the value of the Clearwater Tax-Exempt Bond Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $22,581,520 with net sales of $11,192,671 for the three months ended March 31, 2020. |
39 | (Continued) |
Geographical Diversification | Percent | |
Florida | 10.84% | |
Illinois | 9.60 | |
Texas | 8.14 | |
California | 7.75 | |
New York | 6.05 | |
Colorado | 4.87 | |
Wisconsin | 4.04 | |
Georgia | 3.98 | |
Pennsylvania | 3.47 | |
Ohio | 2.89 | |
Other | 38.37 | |
100.00% | ||
• | Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date. |
• | Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active. Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement. |
• | Level 3 – Valuations based on unobservable inputs, which may include the Adviser’s own assumptions in determining the fair value of an investment. |
40 | (Continued) |
Level 1 | Level 2 | Level 3 | Total | ||||
Closed-End Funds | $31,151,742 | $— | $— | $31,151,742 | |||
Municipal Bonds | |||||||
Alabama | — | 1,052,160 | — | 1,052,160 | |||
Alaska | — | 1,291,454 | — | 1,291,454 | |||
Arizona | — | 14,890,999 | — | 14,890,999 | |||
Arkansas | — | 1,574,630 | — | 1,574,630 | |||
California | — | 45,201,028 | — | 45,201,028 | |||
Colorado | — | 28,380,606 | — | 28,380,606 | |||
Connecticut | — | 8,784,904 | — | 8,784,904 | |||
District of Columbia | — | 4,861,933 | — | 4,861,933 | |||
Florida | — | 63,165,709 | — | 63,165,709 | |||
Georgia | — | 20,560,184 | — | 20,560,184 | |||
Idaho | — | 2,475,454 | — | 2,475,454 | |||
Illinois | — | 32,641,800 | — | 32,641,800 | |||
Indiana | — | 15,293,637 | — | 15,293,637 | |||
Iowa | — | 1,554,270 | — | 1,554,270 | |||
Kansas | — | 2,757,460 | — | 2,757,460 | |||
Kentucky | — | 769,442 | — | 769,442 | |||
Louisiana | — | 9,178,427 | — | 9,178,427 | |||
Maine | — | 5,619,799 | — | 5,619,799 | |||
Maryland | — | 1,922,106 | — | 1,922,106 | |||
Massachusetts | — | 11,257,978 | — | 11,257,978 | |||
Michigan | — | 16,420,526 | — | 16,420,526 | |||
Minnesota | — | 2,556,700 | — | 2,556,700 | |||
Mississippi | — | 1,878,450 | — | 1,878,450 | |||
Missouri | — | 8,221,268 | — | 8,221,268 | |||
Montana | — | 4,405,711 | — | 4,405,711 | |||
Nebraska | — | 2,655,570 | — | 2,655,570 | |||
Nevada | — | 2,986,043 | — | 2,986,043 | |||
New Hampshire | — | 3,845,798 | — | 3,845,798 | |||
New Jersey | — | 10,378,087 | — | 10,378,087 | |||
New Mexico | — | 10,011,582 | — | 10,011,582 | |||
New York | — | 29,513,806 | — | 29,513,806 | |||
North Carolina | — | 4,427,821 | — | 4,427,821 | |||
Ohio | — | 16,856,957 | — | 16,856,957 | |||
Oklahoma | — | 3,329,995 | — | 3,329,995 | |||
Oregon | — | 8,747,978 | — | 8,747,978 | |||
Pennsylvania | — | 20,196,189 | — | 20,196,189 | |||
Puerto Rico | — | 1,512,240 | — | 1,512,240 | |||
Rhode Island | — | 1,450,351 | — | 1,450,351 | |||
South Carolina | — | 3,992,902 | — | 3,992,902 | |||
South Dakota | — | 505,605 | — | 505,605 | |||
Tennessee | — | 11,769,984 | — | 11,769,984 | |||
Texas | — | 47,459,382 | — | 47,459,382 | |||
Utah | — | 4,791,292 | — | 4,791,292 | |||
Vermont | — | 1,206,339 | — | 1,206,339 | |||
Virginia | — | 5,394,765 | — | 5,394,765 | |||
Washington | — | 14,013,123 | — | 14,013,123 | |||
West Virginia | — | 1,603,275 | — | 1,603,275 | |||
Wisconsin | — | 23,566,667 | — | 23,566,667 | |||
Wyoming | — | 3,431,637 | — | 3,431,637 | |||
Short-Term Investments | 11,388,849 | — | — | 11,388,849 | |||
Total | $42,540,591 | $540,364,023 | $— | $582,904,614 |
41 | (Continued) |
42 | (Continued) |
43 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Common Stocks: | ||||||||
Argentina: | ||||||||
9,190 | GLOBANT S.A.(b) | $922,603 | 807,617 | |||||
6,780 | MERCADOLIBRE, INC.(b) | 4,384,923 | 3,312,573 | |||||
5,307,526 | 4,120,190 | 0.75% | ||||||
Australia: | ||||||||
275,180 | ADAIRS LTD.(c) | 331,893 | 150,884 | |||||
75,391 | AFTERPAY LTD.(b) | 1,298,687 | 852,805 | |||||
102,780 | ALLIANCE AVIATION SERVICES LTD. | 167,434 | 107,306 | |||||
89,441 | APA GROUP | 554,557 | 571,225 | |||||
74,125 | APPEN LTD. | 1,097,710 | 921,304 | |||||
2,792 | ASX LTD. | 61,614 | 134,653 | |||||
41,875 | AUSTRALIA & NEW ZEALAND BANKING GROUP LTD. | 455,019 | 451,609 | |||||
155,819 | AVENTUS GROUP | 289,289 | 144,951 | |||||
250,708 | BEACH ENERGY LTD. | 466,720 | 183,588 | |||||
179,910 | BGP HOLDINGS PLC(b)(d) | - | - | |||||
19,642 | BHP GROUP LTD. | 286,016 | 357,090 | |||||
29,300 | BLUESCOPE STEEL LTD. | 232,964 | 159,803 | |||||
18,817 | BRAMBLES LTD. | 73,935 | 124,183 | |||||
49,542 | CEDAR WOODS PROPERTIES LTD. | 234,956 | 125,959 | |||||
971 | COCHLEAR LTD. | 35,893 | 111,553 | |||||
20,273 | COLES GROUP LTD. | 164,456 | 191,810 | |||||
11,157 | COMMONWEALTH BANK OF AUSTRALIA | 235,177 | 421,427 | |||||
44,677 | CSL LTD. | 3,226,710 | 8,104,541 | |||||
18,303 | DEXUS | 95,661 | 104,476 | |||||
97,180 | FORTESCUE METALS GROUP LTD. | 212,026 | 593,554 | |||||
20,886 | GOODMAN GROUP | 67,544 | 159,556 | |||||
191,776 | HT&E LTD. | 241,003 | 135,354 | |||||
26,377 | INCITEC PIVOT LTD. | 46,705 | 33,599 | |||||
49,039 | INSURANCE AUSTRALIA GROUP LTD. | 130,321 | 191,083 | |||||
13,263 | LENDLEASE GROUP | 90,966 | 83,426 | |||||
7,819 | MACQUARIE GROUP LTD. | 175,414 | 425,689 | |||||
25,670 | MINERAL RESOURCES LTD. | 246,214 | 218,981 | |||||
287,808 | NANOSONICS LTD.(b) | 1,244,379 | 1,015,505 | |||||
185,584 | NEW HOPE CORP. LTD. | 317,284 | 157,358 | |||||
7,157 | NEWCREST MINING LTD. | 59,115 | 100,561 | |||||
16,330 | ORORA LTD. | 16,763 | 24,834 | |||||
256,036 | QANTAS AIRWAYS LTD. | 746,678 | 502,205 | |||||
2,805 | RAMSAY HEALTH CARE LTD. | 60,296 | 98,273 | |||||
169,500 | REGIS RESOURCES LTD. | 501,445 | 378,967 | |||||
187,710 | SANTOS LTD. | 551,606 | 406,895 | |||||
55,104 | SCENTRE GROUP | 108,690 | 54,559 | |||||
5,884 | SEEK LTD. | 49,598 | 55,201 | |||||
39,820 | SONIC HEALTHCARE LTD. | 470,951 | 596,352 | |||||
107,718 | SOUTH32 LTD. | 80,546 | 116,107 | |||||
75,800 | SUPER RETAIL GROUP LTD. | 517,213 | 213,731 | |||||
12,092 | SYDNEY AIRPORT | 42,501 | 42,309 | |||||
19,031 | TABCORP HOLDINGS LTD. | 40,016 | 30,189 | |||||
39,578 | TRANSURBAN GROUP | 302,372 | 291,164 | |||||
13,884 | TREASURY WINE ESTATES LTD. | 59,042 | 85,179 | |||||
45,213 | WASHINGTON H. SOUL PATTINSON & CO. LTD. | 558,433 | 470,169 | |||||
10,244 | WESFARMERS LTD. | 249,189 | 220,595 | |||||
2,163 | WOOLWORTHS GROUP LTD. | 47,654 | 47,261 | |||||
374,133 | ZIP CO. LTD.(b)(c) | 924,155 | 381,119 | |||||
17,466,810 | 20,348,942 | 3.72% | ||||||
Austria: | ||||||||
1,649 | ANDRITZ A.G. | 58,433 | 51,887 | |||||
8,998 | BAWAG GROUP A.G.(b)(e) | 357,978 | 252,817 | |||||
1,821 | ERSTE GROUP BANK A.G.(b) | 28,050 | 33,752 | |||||
93 | IMMOFINANZ A.G.(b) | - | 1,663 | |||||
31,621 | RAIFFEISEN BANK INTERNATIONAL A.G. | 553,176 | 464,154 | |||||
313 | STRABAG S.E. (BEARER) | 5,505 | 7,142 | |||||
34,691 | TELEKOM AUSTRIA A.G.(b) | 259,973 | 242,463 | |||||
631 | UBM DEVELOPMENT A.G. | 28,972 | 19,013 | |||||
21,794 | VIENNA INSURANCE GROUP A.G. WIENER VERSICHERUNG GRUPPE | 595,919 | 410,782 |
44 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Austria (Cont'd): | ||||||||
13,496 | WIENERBERGER A.G. | $337,601 | 213,516 | |||||
2,225,607 | 1,697,189 | 0.31% | ||||||
Belgium: | ||||||||
7,478 | AGEAS | 117,910 | 311,162 | |||||
10,113 | ANHEUSER-BUSCH INBEV S.A./N.V. | 285,546 | 449,101 | |||||
19,000 | BPOST S.A. | 195,697 | 134,307 | |||||
25,946 | GROUPE BRUXELLES LAMBERT S.A. | 2,315,088 | 2,041,587 | |||||
10,859 | KBC GROUP N.V. | 475,026 | 501,111 | |||||
21,394 | ONTEX GROUP N.V. | 501,601 | 373,969 | |||||
1,194 | UCB S.A. | 40,858 | 103,679 | |||||
1,757 | UMICORE S.A. | 55,904 | 61,441 | |||||
3,987,630 | 3,976,357 | 0.73% | ||||||
Brazil: | ||||||||
125,000 | GRUPO SBF S.A.(b) | 637,402 | 578,799 | |||||
51,200 | IOCHPE-MAXION S.A. | 228,388 | 108,586 | |||||
100,293 | NOTRE DAME INTERMEDICA PARTICIPACOES S.A. | 841,639 | 867,800 | |||||
88,100 | WIZ SOLUCOES E CORRETAGEM DE SEGUROS S.A. | 235,725 | 152,934 | |||||
1,943,154 | 1,708,119 | 0.31% | ||||||
Canada: | ||||||||
2,027 | AGNICO EAGLE MINES LTD. | 57,973 | 80,919 | |||||
12,428 | ALIMENTATION COUCHE-TARD, INC., CLASS B | 223,779 | 292,751 | |||||
785 | BANK OF MONTREAL | 34,168 | 39,638 | |||||
2,936 | BANK OF NOVA SCOTIA (THE) | 67,574 | 119,898 | |||||
40,918 | BARRICK GOLD CORP. | 384,639 | 751,893 | |||||
18,099 | BROOKFIELD ASSET MANAGEMENT, INC., CLASS A | 174,146 | 802,257 | |||||
11,000 | BRP, INC. (SUB VOTING) | 430,510 | 179,464 | |||||
85,785 | CAE, INC. | 1,798,537 | 1,084,428 | |||||
15,139 | CANADIAN IMPERIAL BANK OF COMMERCE | 709,664 | 882,113 | |||||
16,124 | CANADIAN NATIONAL RAILWAY CO. | 302,628 | 1,260,658 | |||||
3,659 | CANADIAN PACIFIC RAILWAY LTD. | 123,837 | 807,434 | |||||
22,574 | CANADIAN PACIFIC RAILWAY LTD. (NEW YORK EXCHANGE) | 3,102,265 | 4,957,025 | |||||
5,400 | CANADIAN TIRE CORP. LTD., CLASS A | 582,254 | 325,926 | |||||
1,803 | CANADIAN UTILITIES LTD., CLASS A | 44,280 | 43,099 | |||||
13,800 | CARGOJET, INC. | 1,027,116 | 991,682 | |||||
35,300 | CASCADES, INC. | 347,472 | 315,299 | |||||
45,100 | CENTERRA GOLD, INC.(b) | 366,388 | 268,235 | |||||
7,126 | CGI, INC.(b) | 64,938 | 385,795 | |||||
25,800 | COMINAR REAL ESTATE INVESTMENT TRUST | 273,247 | 148,680 | |||||
167 | CONSTELLATION SOFTWARE, INC. | 49,226 | 151,777 | |||||
52,400 | CORUS ENTERTAINMENT, INC., CLASS B | 212,483 | 93,458 | |||||
29,900 | DESCARTES SYSTEMS GROUP (THE), INC.(b) | 1,165,655 | 1,028,536 | |||||
6,582 | DOLLARAMA, INC. | 86,132 | 182,592 | |||||
25,600 | DOREL INDUSTRIES, INC., CLASS B | 175,448 | 27,286 | |||||
67,455 | ECN CAPITAL CORP. | 232,360 | 180,225 | |||||
1,320 | ENBRIDGE, INC. | 47,149 | 38,438 | |||||
39,600 | ENERPLUS CORP. | 318,702 | 58,248 | |||||
28,367 | EQUINOX GOLD CORP.(b) | 177,524 | 189,474 | |||||
211 | FAIRFAX FINANCIAL HOLDINGS LTD. | 52,589 | 64,685 | |||||
15,840 | FIRSTSERVICE CORP. | 1,607,156 | 1,221,457 | |||||
6,598 | FORTIS, INC. | 204,949 | 254,440 | |||||
2,389 | FRANCO-NEVADA CORP. | 109,265 | 238,696 | |||||
6,104 | GILDAN ACTIVEWEAR, INC. | 33,435 | 77,813 | |||||
40,966 | H&R REAL ESTATE INVESTMENT TRUST | 522,063 | 259,949 | |||||
208,410 | HUSKY ENERGY, INC. | 454,613 | 524,246 | |||||
19,500 | IA FINANCIAL CORP., INC. | 882,358 | 613,004 | |||||
134,997 | IMPERIAL OIL LTD. | 3,820,451 | 1,526,186 | |||||
415 | INTACT FINANCIAL CORP. | 33,776 | 35,868 | |||||
1,100 | INTERNATIONAL PETROLEUM CORP.(b) | 2,833 | 1,306 | |||||
2,356 | KEYERA CORP. | 50,239 | 21,898 | |||||
14,205 | KINAXIS, INC.(b) | 907,384 | 1,099,114 | |||||
35,289 | KINROSS GOLD CORP.(b) | 70,483 | 141,678 | |||||
2,077 | LOBLAW COS. LTD. | 71,240 | 107,075 | |||||
25,763 | LULULEMON ATHLETICA, INC.(b) | 5,164,095 | 4,883,377 | |||||
9,723 | MAGNA INTERNATIONAL, INC. | 71,598 | 310,282 | |||||
3,590 | MANULIFE FINANCIAL CORP. | 39,611 | 45,076 |
45 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Canada (Cont'd): | ||||||||
3,240 | METRO, INC. | $63,839 | 131,023 | |||||
19,328 | NATIONAL BANK OF CANADA | 618,005 | 746,998 | |||||
18,700 | NFI GROUP, INC. | 423,076 | 200,115 | |||||
7,098 | NUTRIEN LTD. | 124,525 | 242,652 | |||||
2,755 | ONEX CORP. | 115,432 | 100,839 | |||||
6,564 | OPEN TEXT CORP. | 72,477 | 229,528 | |||||
4,522 | PEMBINA PIPELINE CORP. | 33,296 | 84,830 | |||||
23,400 | PIZZA PIZZA ROYALTY CORP. | 181,786 | 123,044 | |||||
6,239 | PRAIRIESKY ROYALTY LTD. | 34,530 | 32,939 | |||||
2,701 | RITCHIE BROS. AUCTIONEERS, INC. | 50,064 | 92,509 | |||||
9,552 | ROGERS COMMUNICATIONS, INC., CLASS B | 231,614 | 398,696 | |||||
27,218 | ROYAL BANK OF CANADA | 919,166 | 1,685,918 | |||||
5,209 | SAPUTO, INC. | 113,863 | 125,256 | |||||
40,500 | SEVEN GENERATIONS ENERGY LTD., CLASS A(b) | 277,351 | 44,607 | |||||
7,000 | SHAW COMMUNICATIONS, INC., CLASS B | 107,483 | 113,558 | |||||
1,352 | SHOPIFY, INC., CLASS A(b) | 360,074 | 566,451 | |||||
10,324 | SHOPIFY, INC., CLASS A (NEW YORK EXCHANGE)(b) | 1,601,792 | 4,304,385 | |||||
12,076 | SUN LIFE FINANCIAL, INC. | 245,644 | 388,461 | |||||
139,715 | SUNCOR ENERGY, INC. | 3,550,653 | 2,229,801 | |||||
6,628 | TC ENERGY CORP. | 226,669 | 294,593 | |||||
14,787 | TECK RESOURCES LTD., CLASS B | 50,839 | 112,113 | |||||
9,096 | TELUS CORP. | 59,716 | 143,812 | |||||
10,700 | TFI INTERNATIONAL, INC. | 328,109 | 236,080 | |||||
8,181 | THOMSON REUTERS CORP. | 216,295 | 557,375 | |||||
30,251 | TORONTO-DOMINION BANK (THE) | 567,816 | 1,286,092 | |||||
104 | TRISURA GROUP LTD.(b) | 490 | 3,028 | |||||
16,800 | WAJAX CORP. | 206,860 | 77,118 | |||||
20,600 | WESTSHORE TERMINALS INVESTMENT CORP.(c) | 319,282 | 191,464 | |||||
7,241 | WHEATON PRECIOUS METALS CORP. | 118,462 | 199,278 | |||||
25,967 | YAMANA GOLD, INC. | 47,753 | 72,146 | |||||
37,945,193 | 42,128,087 | 7.70% | ||||||
Chile: | ||||||||
5,893,187 | ENEL CHILE S.A. | 532,931 | 399,351 | |||||
532,931 | 399,351 | 0.07% | ||||||
China: | ||||||||
290,000 | AGILE GROUP HOLDINGS LTD. | 352,847 | 312,158 | |||||
13,337 | ALIBABA GROUP HOLDING LTD. ADR(b)(f) | 2,614,733 | 2,593,780 | |||||
225,500 | ASIA CEMENT CHINA HOLDINGS CORP. | 293,280 | 228,201 | |||||
31,598 | BAIDU, INC. ADR(b)(f) | 3,957,248 | 3,184,762 | |||||
656,000 | CHINA BLUECHEMICAL LTD., CLASS H | 177,444 | 100,945 | |||||
408,000 | CHINA MEDICAL SYSTEM HOLDINGS LTD. | 472,941 | 439,830 | |||||
1,191,000 | CHINA SUNTIEN GREEN ENERGY CORP. LTD., CLASS H | 329,834 | 206,781 | |||||
9,600 | HANGZHOU TIGERMED CONSULTING CO. LTD., CLASS A | 87,839 | 86,301 | |||||
67,857 | HANGZHOU TIGERMED CONSULTING CO. LTD., CLASS A (SHENZEN-HONG KONG EXCHANGE) | 587,456 | 610,107 | |||||
30,000 | SILERGY CORP. | 963,016 | 965,064 | |||||
97,555 | TENCENT HOLDINGS LTD. | 1,604,694 | 4,756,935 | |||||
95,539 | TRIP.COM GROUP LTD. ADR(b)(f) | 2,758,267 | 2,240,389 | |||||
302,000 | ZHEJIANG EXPRESSWAY CO. LTD., CLASS H | 271,689 | 208,362 | |||||
14,471,288 | 15,933,615 | 2.91% | ||||||
Czech Republic: | ||||||||
88,400 | MONETA MONEY BANK A.S.(e) | 268,732 | 182,656 | |||||
701 | PHILIP MORRIS CR A.S. | 402,294 | 376,080 | |||||
671,026 | 558,736 | 0.10% | ||||||
Denmark: | ||||||||
5,750 | ALK-ABELLO A/S(b) | 1,554,162 | 1,307,625 | |||||
54 | AP MOLLER - MAERSK A/S, CLASS A | 46,111 | 44,804 | |||||
65 | AP MOLLER - MAERSK A/S, CLASS B | 52,319 | 58,310 | |||||
1,537 | CARLSBERG A/S, CLASS B | 70,497 | 174,474 | |||||
1,044 | CHR HANSEN HOLDING A/S | 61,134 | 78,332 | |||||
1,500 | COLOPLAST A/S, CLASS B | 27,666 | 218,241 | |||||
6,700 | DANSKE BANK A/S | 54,825 | 75,942 | |||||
3,896 | DEMANT A/S(b) | 70,444 | 86,471 | |||||
70,870 | DSV PANALPINA A/S | 6,437,445 | 6,452,950 | |||||
851 | GENMAB A/S(b) | 111,852 | 172,734 | |||||
6,944 | ISS A/S | 96,080 | 95,713 |
46 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Denmark (Cont'd): | ||||||||
21,785 | NOVO NORDISK A/S, CLASS B | $271,361 | 1,314,103 | |||||
2,681 | NOVOZYMES A/S, CLASS B | 48,997 | 122,252 | |||||
864 | ORSTED A/S(e) | 68,168 | 84,849 | |||||
9,400 | PANDORA A/S | 311,027 | 306,106 | |||||
27,182 | ROYAL UNIBREW A/S | 1,796,356 | 1,964,080 | |||||
6,185 | SIMCORP A/S | 568,867 | 520,554 | |||||
2,699 | SOLAR A/S, CLASS B | 116,641 | 79,711 | |||||
3,250 | TOPDANMARK A/S | 33,362 | 131,307 | |||||
3,346 | VESTAS WIND SYSTEMS A/S | 159,882 | 272,373 | |||||
11,957,196 | 13,560,931 | 2.48% | ||||||
Finland: | ||||||||
2,942 | ELISA OYJ | 95,919 | 182,812 | |||||
1,396 | KESKO OYJ, CLASS B | 30,705 | 79,251 | |||||
5,273 | KONE OYJ, CLASS B | 105,699 | 299,287 | |||||
21,225 | NESTE OYJ | 67,704 | 718,922 | |||||
2,767 | NOKIAN RENKAAT OYJ | 41,495 | 67,148 | |||||
2,237 | ORION OYJ, CLASS B | 59,265 | 91,765 | |||||
1,822 | SAMPO OYJ, CLASS A | 60,714 | 53,293 | |||||
24,493 | SANOMA OYJ | 271,642 | 225,150 | |||||
18,590 | STORA ENSO OYJ (REGISTERED) | 105,291 | 188,679 | |||||
11,934 | UPM-KYMMENE OYJ(c) | 99,928 | 328,930 | |||||
1,849 | VALMET OYJ | 14,443 | 36,296 | |||||
952,805 | 2,271,533 | 0.42% | ||||||
France: | ||||||||
1,275 | ACCOR S.A. | 29,826 | 34,876 | |||||
3,534 | AEROPORTS DE PARIS | 345,517 | 339,302 | |||||
22,200 | AIR FRANCE-KLM(b)(c) | 263,182 | 123,898 | |||||
640 | AIR LIQUIDE S.A. | 96,366 | 82,033 | |||||
10,877 | AIRBUS S.E. | 357,319 | 705,735 | |||||
13,633 | ALSTOM S.A. | 625,940 | 570,551 | |||||
4,199 | ARKEMA S.A. | 378,617 | 290,379 | |||||
30,830 | AXA S.A. | 412,796 | 533,881 | |||||
1,643 | BOUYGUES S.A. | 51,359 | 48,215 | |||||
3,171 | CAPGEMINI S.E. | 121,479 | 268,250 | |||||
1,357 | CASINO GUICHARD PERRACHON S.A.(c) | 49,882 | 52,326 | |||||
19,629 | CIE DE SAINT-GOBAIN | 442,086 | 477,257 | |||||
5,399 | CIE DES ALPES | 143,643 | 93,524 | |||||
3,489 | CIE GENERALE DES ETABLISSEMENTS MICHELIN S.C.A. | 190,890 | 310,540 | |||||
12,397 | CIE PLASTIC OMNIUM S.A. | 365,091 | 174,574 | |||||
10,002 | CNP ASSURANCES | 115,209 | 97,904 | |||||
37,390 | COFACE S.A. | 449,179 | 240,007 | |||||
8,241 | COVIVIO | 528,654 | 464,761 | |||||
16,517 | CREDIT AGRICOLE S.A. | 122,492 | 121,057 | |||||
25,864 | DANONE S.A. | 1,486,458 | 1,668,090 | |||||
1,983 | EDENRED | 35,944 | 82,995 | |||||
6,724 | EIFFAGE S.A. | 605,216 | 476,208 | |||||
18,910 | ELECTRICITE DE FRANCE S.A. | 200,389 | 149,130 | |||||
15,893 | ESSILORLUXOTTICA S.A. | 1,815,130 | 1,724,040 | |||||
16,693 | ESSILORLUXOTTICA S.A. (EURONEXT PARIS EXCHANGE) | 2,017,382 | 1,801,007 | |||||
3,111 | EURAZEO S.E. | 87,193 | 140,766 | |||||
181 | EUROFINS SCIENTIFIC S.E. | 81,271 | 89,725 | |||||
47,907 | EUTELSAT COMMUNICATIONS S.A. | 676,920 | 501,632 | |||||
1,392 | FAURECIA S.E. | 59,110 | 41,665 | |||||
767 | GECINA S.A. | 80,256 | 101,750 | |||||
10,019 | GETLINK S.E. | 82,448 | 121,099 | |||||
1,437 | ICADE | 128,243 | 113,900 | |||||
1,364 | ILIAD S.A. | 188,357 | 185,391 | |||||
3,399 | INFOTEL S.A. | 145,404 | 117,138 | |||||
7,198 | KAUFMAN & BROAD S.A. | 285,637 | 223,296 | |||||
1,026 | KERING S.A. | 174,510 | 535,362 | |||||
1,475 | KLEPIERRE S.A. | 35,732 | 28,484 | |||||
5,003 | LEGRAND S.A. | 121,278 | 321,491 | |||||
6,266 | L'OREAL S.A. | 661,338 | 1,644,738 | |||||
16,378 | LVMH MOET HENNESSY LOUIS VUITTON S.E. | 2,672,763 | 6,079,440 | |||||
14,296 | MERSEN S.A. | 465,081 | 262,063 | |||||
19,315 | NATIXIS S.A. | 58,304 | 62,801 | |||||
8,798 | NEXITY S.A. | 431,993 | 271,051 |
47 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
France (Cont'd): | ||||||||
34,547 | ORANGE S.A. | $364,835 | 428,321 | |||||
23,147 | PERNOD RICARD S.A. | 3,600,879 | 3,292,403 | |||||
13,444 | PEUGEOT S.A. | 88,165 | 179,241 | |||||
2,019 | RENAULT S.A. | 37,809 | 39,210 | |||||
3,129 | SAFRAN S.A. | 182,264 | 275,027 | |||||
18,127 | SANOFI | 1,018,143 | 1,595,916 | |||||
278 | SCHNEIDER ELECTRIC S.E. | 8,838 | 23,716 | |||||
7,138 | SCHNEIDER ELECTRIC S.E. (EURONEXT PARIS EXCHANGE) | 267,356 | 614,572 | |||||
1,813 | SCOR S.E. | 36,441 | 39,947 | |||||
3,699 | SOCIETE POUR L'INFORMATIQUE INDUSTRIELLE | 108,264 | 72,364 | |||||
29,088 | SODEXO S.A. | 2,624,621 | 1,971,081 | |||||
13,115 | SOITEC(b) | 1,091,043 | 945,721 | |||||
3,954 | SUEZ | 55,366 | 40,286 | |||||
51,800 | TELEVISION FRANCAISE 1 | 458,222 | 283,337 | |||||
1,413 | THALES S.A. | 81,763 | 118,600 | |||||
7,962 | TOTAL S.A. | 384,682 | 308,762 | |||||
3,269 | VALEO S.A. | 58,895 | 54,668 | |||||
13,992 | VEOLIA ENVIRONNEMENT S.A. | 155,531 | 299,329 | |||||
5,698 | VICAT S.A. | 265,667 | 144,950 | |||||
7,918 | VINCI S.A. | 325,957 | 655,176 | |||||
95,834 | VIVENDI S.A. | 2,001,171 | 2,056,276 | |||||
6,004 | WENDEL S.E. | 462,932 | 480,308 | |||||
31,364,728 | 35,691,543 | 6.53% | ||||||
Georgia: | ||||||||
21,875 | BANK OF GEORGIA GROUP PLC | 355,261 | 250,591 | |||||
355,261 | 250,591 | 0.05% | ||||||
Germany: | ||||||||
4,035 | ADIDAS A.G. | 203,310 | 928,243 | |||||
8,277 | ALLIANZ S.E. (REGISTERED) | 727,077 | 1,426,802 | |||||
168,658 | ARCH CAPITAL GROUP LTD.(b) | 3,134,252 | 4,800,007 | |||||
20,671 | AROUNDTOWN S.A. | 170,616 | 103,592 | |||||
6,098 | AURUBIS A.G. | 286,000 | 253,350 | |||||
13,725 | BASF S.E. | 463,447 | 663,378 | |||||
9,925 | BAYER A.G. (REGISTERED) | 473,075 | 582,600 | |||||
8,787 | BAYERISCHE MOTOREN WERKE A.G. | 501,991 | 461,318 | |||||
2,206 | BEIERSDORF A.G. | 146,950 | 224,468 | |||||
1,188 | BRENNTAG A.G. | 43,546 | 44,882 | |||||
916 | CONTINENTAL A.G. | 47,943 | 66,987 | |||||
1,712 | DELIVERY HERO S.E.(b)(e) | 76,872 | 129,821 | |||||
4,586 | DEUTSCHE BOERSE A.G. | 282,364 | 629,971 | |||||
15,996 | DEUTSCHE EUROSHOP A.G. | 435,440 | 184,929 | |||||
37,890 | DEUTSCHE PFANDBRIEFBANK A.G.(e) | 469,871 | 291,191 | |||||
18,215 | DEUTSCHE POST A.G. (REGISTERED) | 220,891 | 502,561 | |||||
45,533 | DEUTSCHE TELEKOM A.G. (REGISTERED) | 528,151 | 602,882 | |||||
5,610 | DEUTSCHE WOHNEN S.E. | 162,284 | 214,346 | |||||
82,454 | E.ON S.E. | 724,674 | 867,129 | |||||
7,720 | ECKERT & ZIEGLER STRAHLEN- UND MEDIZINTECHNIK A.G. | 1,145,003 | 1,213,562 | |||||
42,016 | EVOTEC S.E.(b)(c) | 958,370 | 951,716 | |||||
23,600 | FREENET A.G. | 557,311 | 422,484 | |||||
59,104 | FRESENIUS MEDICAL CARE A.G. & CO. KGAA | 4,524,100 | 3,942,449 | |||||
7,057 | FRESENIUS S.E. & CO. KGAA | 160,477 | 265,193 | |||||
17,795 | HAMBURGER HAFEN UND LOGISTIK A.G. | 443,620 | 249,044 | |||||
4,367 | HANNOVER RUECK S.E. | 392,130 | 638,487 | |||||
3,671 | HEIDELBERGCEMENT A.G. | 131,196 | 160,109 | |||||
19,743 | HELLA GMBH & CO. KGAA | 897,893 | 576,664 | |||||
671 | HENKEL A.G. & CO. KGAA | 49,267 | 50,564 | |||||
2,600 | HOCHTIEF A.G. | 108,936 | 172,898 | |||||
21,990 | INFINEON TECHNOLOGIES A.G. | 127,235 | 329,380 | |||||
6,898 | JOST WERKE A.G.(e) | 220,852 | 167,192 | |||||
1,043 | LANXESS A.G. | 58,218 | 41,755 | |||||
2,159 | MERCK KGAA | 96,589 | 223,872 | |||||
3,131 | MUENCHENER RUECKVERSICHERUNGS-GESELLSCHAFT A.G. IN MUENCHEN (REGISTERED) | 392,193 | 632,914 | |||||
2,170 | OSRAM LICHT A.G.(b)(c) | 64,123 | 96,497 | |||||
19,095 | PROSIEBENSAT.1 MEDIA S.E. | 286,490 | 154,209 |
48 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Germany (Cont'd): | ||||||||
5,998 | PUBLITY A.G.(c) | $216,077 | 223,487 | |||||
3,999 | RHEINMETALL A.G. | 520,402 | 285,418 | |||||
4,035 | RWE A.G. | 88,431 | 108,013 | |||||
17,205 | SAP S.E. | 694,475 | 1,976,049 | |||||
13,214 | SIEMENS A.G. (REGISTERED) | 805,411 | 1,137,308 | |||||
3,600 | SILTRONIC A.G. | 264,192 | 269,783 | |||||
188,717 | TELEFONICA DEUTSCHLAND HOLDING A.G. | 459,389 | 469,022 | |||||
115,327 | TUI A.G. - CDI | 451,686 | 516,488 | |||||
4,559 | UNIPER S.E. | 57,712 | 114,417 | |||||
469 | VOLKSWAGEN A.G. | 50,214 | 63,562 | |||||
2,861 | VONOVIA S.E. | 107,859 | 141,022 | |||||
1,371 | ZALANDO S.E.(b)(e) | 56,198 | 53,420 | |||||
23,484,803 | 28,625,435 | 5.23% | ||||||
Greece: | ||||||||
6,746 | HELLENIC TELECOMMUNICATIONS ORGANIZATION S.A. | 54,075 | 81,947 | |||||
54,075 | 81,947 | 0.02% | ||||||
Hong Kong: | ||||||||
682,400 | AIA GROUP LTD. | 3,940,137 | 6,139,076 | |||||
482,000 | AUSNUTRIA DAIRY CORP. LTD.(b) | 648,824 | 761,856 | |||||
181,500 | BOC HONG KONG HOLDINGS LTD. | 447,601 | 500,141 | |||||
1,462,000 | CITIC TELECOM INTERNATIONAL HOLDINGS LTD. | 547,331 | 483,305 | |||||
58,044 | CK ASSET HOLDINGS LTD. | 177,137 | 315,773 | |||||
46,044 | CK HUTCHISON HOLDINGS LTD. | 255,415 | 308,785 | |||||
10,000 | CK INFRASTRUCTURE HOLDINGS LTD. | 46,496 | 52,966 | |||||
35,500 | CLP HOLDINGS LTD. | 245,345 | 326,303 | |||||
722,000 | FIRST PACIFIC CO. LTD. | 288,855 | 133,304 | |||||
20,000 | GALAXY ENTERTAINMENT GROUP LTD. | 52,153 | 105,938 | |||||
15,800 | HANG SENG BANK LTD. | 184,668 | 269,211 | |||||
27,331 | HENDERSON LAND DEVELOPMENT CO. LTD. | 52,934 | 103,799 | |||||
113,364 | HONG KONG & CHINA GAS CO. LTD. | 169,115 | 186,427 | |||||
12,100 | HONG KONG EXCHANGES & CLEARING LTD. | 212,819 | 363,378 | |||||
40,500 | LINK REIT | 84,195 | 342,117 | |||||
32,500 | MTR CORP. LTD. | 99,572 | 167,345 | |||||
43,500 | NWS HOLDINGS LTD. | 52,824 | 44,521 | |||||
190,000 | PCCW LTD. | 77,804 | 104,407 | |||||
392,000 | PERFECT SHAPE MEDICAL LTD. | 140,251 | 93,966 | |||||
9,000 | POWER ASSETS HOLDINGS LTD. | 49,197 | 53,618 | |||||
133,000 | SHENZHEN INTERNATIONAL HOLDINGS LTD. | 256,636 | 241,939 | |||||
25,400 | SINO LAND CO. LTD. | 27,320 | 32,134 | |||||
185,000 | SITC INTERNATIONAL HOLDINGS CO. LTD. | 196,112 | 172,464 | |||||
58,500 | SUN HUNG KAI PROPERTIES LTD. | 691,750 | 768,100 | |||||
20,000 | SWIRE PACIFIC LTD., CLASS A | 137,259 | 128,127 | |||||
9,000 | TECHTRONIC INDUSTRIES CO. LTD. | 60,369 | 57,978 | |||||
600,000 | UNITED LABORATORIES INTERNATIONAL HOLDINGS (THE) LTD.(c) | 352,686 | 482,016 | |||||
469,800 | VALUETRONICS HOLDINGS LTD. | 216,550 | 167,827 | |||||
83,500 | WH GROUP LTD.(e) | 45,547 | 77,541 | |||||
19,000 | WHEELOCK & CO. LTD. | 30,489 | 129,061 | |||||
232,000 | XINYI GLASS HOLDINGS LTD. | 260,215 | 264,316 | |||||
358,000 | YUEXIU TRANSPORT INFRASTRUCTURE LTD. | 311,883 | 216,899 | |||||
10,359,489 | 13,594,638 | 2.49% | ||||||
India: | ||||||||
480,827 | BHARTI INFRATEL LTD. | 2,067,707 | 1,007,180 | |||||
83,635 | CREDITACCESS GRAMEEN LTD.(b) | 977,718 | 372,083 | |||||
386,194 | HCL TECHNOLOGIES LTD. | 2,483,490 | 2,212,424 | |||||
75,694 | HDFC BANK LTD. ADR(f) | 2,505,428 | 2,911,191 | |||||
114,700 | HINDUSTAN PETROLEUM CORP. LTD. | 431,628 | 286,008 | |||||
469,390 | INDIAN ENERGY EXCHANGE LTD.(e) | 1,194,914 | 793,721 | |||||
40,400 | JUBILANT LIFE SCIENCES LTD. | 314,717 | 131,619 | |||||
322,000 | NMDC LTD. | 521,633 | 335,458 | |||||
735,500 | SJVN LTD. | 264,878 | 199,959 | |||||
260,962 | SYNGENE INTERNATIONAL LTD.(e) | 1,154,921 | 821,901 | |||||
25,733 | WNS HOLDINGS LTD. ADR(b)(f) | 1,526,688 | 1,106,004 | |||||
13,443,722 | 10,177,548 | 1.86% | ||||||
Indonesia: | ||||||||
4,097,000 | ADARO ENERGY TBK PT | 470,816 | 247,287 |
49 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Indonesia (Cont'd): | ||||||||
4,115,000 | BANK TABUNGAN PENSIUNAN NASIONAL SYARIAH TBK PT(b) | $1,146,657 | 535,763 | |||||
1,069,100 | MATAHARI DEPARTMENT STORE TBK PT | 209,704 | 86,966 | |||||
1,827,177 | 870,016 | 0.16% | ||||||
Ireland: | ||||||||
28,272 | ACCENTURE PLC, CLASS A | 3,522,256 | 4,615,687 | |||||
306,800 | AIB GROUP PLC(b) | 558,157 | 344,038 | |||||
238,940 | BANK OF IRELAND GROUP PLC | 458,736 | 451,409 | |||||
100,693 | CRH PLC | 3,047,743 | 2,744,783 | |||||
65,382 | DALATA HOTEL GROUP PLC | 368,686 | 177,360 | |||||
171,467 | EXPERIAN PLC | 3,197,677 | 4,773,331 | |||||
890 | FLUTTER ENTERTAINMENT PLC | 76,739 | 80,682 | |||||
14,505 | ICON PLC(b) | 1,088,213 | 1,972,680 | |||||
12,259 | JAMES HARDIE INDUSTRIES PLC - CDI | 114,907 | 142,982 | |||||
3,255 | KERRY GROUP PLC, CLASS A | 214,085 | 373,163 | |||||
49,841 | KEYWORDS STUDIOS PLC | 843,317 | 893,216 | |||||
13,490,516 | 16,569,331 | 3.03% | ||||||
Isle of Man: | ||||||||
9,687 | GVC HOLDINGS PLC | 75,251 | 67,244 | |||||
75,251 | 67,244 | 0.01% | ||||||
Israel: | ||||||||
1,274 | AZRIELI GROUP LTD. | 75,106 | 73,677 | |||||
94,185 | BANK HAPOALIM B.M. | 477,257 | 566,202 | |||||
6,868 | BANK LEUMI LE-ISRAEL B.M. | 35,031 | 37,974 | |||||
2,203 | CHECK POINT SOFTWARE TECHNOLOGIES LTD.(b) | 171,232 | 221,490 | |||||
10,119 | CYBERARK SOFTWARE LTD.(b) | 1,034,896 | 865,782 | |||||
412 | ELBIT SYSTEMS LTD. | 53,251 | 53,693 | |||||
1,038 | ISRACARD LTD. | 3,373 | 2,785 | |||||
5,900 | MIZRAHI TEFAHOT BANK LTD. | 51,135 | 110,220 | |||||
3,008 | NICE LTD.(b) | 158,715 | 435,491 | |||||
8,170 | WIX.COM LTD.(b) | 1,015,634 | 823,700 | |||||
3,075,630 | 3,191,014 | 0.58% | ||||||
Italy: | ||||||||
285,200 | A2A S.P.A. | 555,841 | 354,822 | |||||
67,826 | AMPLIFON S.P.A. | 1,657,871 | 1,391,701 | |||||
26,383 | ASSICURAZIONI GENERALI S.P.A. | 324,085 | 359,414 | |||||
2,647 | ATLANTIA S.P.A. | 35,699 | 33,180 | |||||
10,697 | AVIO S.P.A. | 142,834 | 134,567 | |||||
25,272 | BANCA MEDIOLANUM S.P.A. | 87,322 | 128,923 | |||||
11,397 | EL.EN. S.P.A. | 291,927 | 200,355 | |||||
93,436 | ENEL S.P.A. | 368,517 | 650,354 | |||||
4,500 | ENI S.P.A. | 39,200 | 45,497 | |||||
18,801 | FERRARI N.V. | 2,450,666 | 2,922,169 | |||||
1,022 | FERRARI N.V. (NEW YORK EXCHANGE) | 7,571 | 155,927 | |||||
35,634 | INTERPUMP GROUP S.P.A. | 503,758 | 859,870 | |||||
65,001 | INTESA SANPAOLO S.P.A. | 105,892 | 106,098 | |||||
173,553 | IREN S.P.A. | 474,559 | 429,338 | |||||
12,059 | LEONARDO S.P.A. | 61,595 | 80,225 | |||||
4,518 | MONCLER S.P.A. | 161,368 | 164,930 | |||||
4,277 | PRYSMIAN S.P.A. | 79,787 | 68,494 | |||||
1,642 | RECORDATI S.P.A. | 68,970 | 69,560 | |||||
695 | RIZZOLI CORRIERE DELLA SERA MEDIAGROUP S.P.A. | 460 | 555 | |||||
78,337 | SNAM S.P.A. | 286,070 | 361,810 | |||||
49,687 | SOCIETA CATTOLICA DI ASSICURAZIONI S.C. | 431,869 | 246,421 | |||||
163,162 | TENARIS S.A. | 1,598,924 | 998,082 | |||||
24,707 | TENARIS S.A. ADR(f) | 546,314 | 297,719 | |||||
57,919 | TERNA RETE ELETTRICA NAZIONALE S.P.A. | 295,368 | 367,034 | |||||
71,681 | UNIPOL GRUPPO S.P.A. | 376,844 | 246,503 | |||||
95,230 | UNIPOLSAI ASSICURAZIONI S.P.A. | 153,826 | 234,308 | |||||
11,107,137 | 10,907,856 | 1.99% | ||||||
Japan: | ||||||||
1,500 | ABC-MART, INC. | 57,724 | 75,232 | |||||
30,600 | ADEKA CORP. | 390,224 | 383,106 | |||||
4,700 | AEON CO. LTD. | 52,433 | 104,464 | |||||
5,400 | AEON FINANCIAL SERVICE CO. LTD. | 59,706 | 57,761 | |||||
400 | AEON REIT INVESTMENT CORP. | 511,339 | 383,102 |
50 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Japan (Cont'd): | ||||||||
2,700 | AGC, INC. | $80,413 | 66,359 | |||||
3,300 | AISIN SEIKI CO. LTD. | 68,452 | 81,263 | |||||
15,600 | AJINOMOTO CO., INC. | 126,117 | 290,669 | |||||
2,500 | ALFRESA HOLDINGS CORP. | 24,420 | 46,632 | |||||
1,400 | ANA HOLDINGS, INC. | 35,110 | 34,187 | |||||
15,600 | ARCS CO. LTD. | 325,913 | 281,548 | |||||
5,900 | ASAHI GROUP HOLDINGS LTD. | 94,464 | 191,567 | |||||
38,700 | ASAHI INTECC CO. LTD. | 962,102 | 958,017 | |||||
31,000 | ASAHI KASEI CORP. | 147,138 | 219,102 | |||||
22,100 | ASAHI YUKIZAI CORP. | 276,792 | 285,558 | |||||
9,300 | ASANUMA CORP. | 324,412 | 324,785 | |||||
37,000 | ASTELLAS PHARMA, INC. | 236,149 | 572,766 | |||||
2,100 | BANDAI NAMCO HOLDINGS, INC. | 43,790 | 101,920 | |||||
7,700 | BANK OF KYOTO (THE) LTD. | 268,658 | 245,029 | |||||
14,100 | BRIDGESTONE CORP. | 215,234 | 433,902 | |||||
19,200 | BROTHER INDUSTRIES LTD. | 297,392 | 293,477 | |||||
48,400 | BUNKA SHUTTER CO. LTD. | 363,296 | 352,426 | |||||
4,900 | CENTRAL JAPAN RAILWAY CO. | 570,576 | 785,484 | |||||
4,600 | CHUGAI PHARMACEUTICAL CO. LTD. | 92,729 | 532,456 | |||||
1,900 | DAI NIPPON PRINTING CO. LTD. | 35,234 | 40,468 | |||||
9,700 | DAIICHI SANKYO CO. LTD. | 150,922 | 667,376 | |||||
4,600 | DAIKIN INDUSTRIES LTD. | 136,302 | 560,952 | |||||
600 | DAITO TRUST CONSTRUCTION CO. LTD. | 57,148 | 55,962 | |||||
15,200 | DAITRON CO. LTD. | 266,276 | 208,844 | |||||
13,900 | DAIWA HOUSE INDUSTRY CO. LTD. | 202,390 | 344,259 | |||||
46 | DAIWA HOUSE REIT INVESTMENT CORP. | 103,607 | 112,385 | |||||
17,500 | DAIWA SECURITIES GROUP, INC. | 60,410 | 67,880 | |||||
5,600 | DAIWABO HOLDINGS CO. LTD. | 223,879 | 268,897 | |||||
8,500 | DENSO CORP. | 195,702 | 274,568 | |||||
3,300 | DENTSU GROUP, INC. | 56,753 | 63,624 | |||||
7,100 | EAST JAPAN RAILWAY CO. | 400,441 | 538,000 | |||||
13,700 | ECO'S CO. LTD. | 210,388 | 211,107 | |||||
3,500 | EISAI CO. LTD. | 121,009 | 256,899 | |||||
17,900 | ELEMATEC CORP. | 175,861 | 127,551 | |||||
7,700 | FAMILYMART CO. LTD. | 62,427 | 137,869 | |||||
2,600 | FANUC CORP. | 182,941 | 352,581 | |||||
1,300 | FAST RETAILING CO. LTD. | 188,734 | 531,200 | |||||
97,300 | FEED ONE CO. LTD. | 148,765 | 136,169 | |||||
37,700 | FERROTEC HOLDINGS CORP. | 322,172 | 192,535 | |||||
34,200 | FJ NEXT CO. LTD. | 337,056 | 258,988 | |||||
39,500 | FREEE K.K.(b)(c) | 885,531 | 1,253,290 | |||||
4,700 | FUJI ELECTRIC CO. LTD. | 61,631 | 106,325 | |||||
10,400 | FUJIBO HOLDINGS, INC. | 287,084 | 276,369 | |||||
9,000 | FUJIFILM HOLDINGS CORP. | 174,752 | 451,747 | |||||
2,300 | FUJITSU LTD. | 106,202 | 207,550 | |||||
35,800 | FURUNO ELECTRIC CO. LTD. | 322,070 | 279,127 | |||||
13,500 | GMO PAYMENT GATEWAY, INC. | 891,303 | 947,260 | |||||
19,400 | HAKUTO CO. LTD. | 213,407 | 173,882 | |||||
3,200 | HAMAMATSU PHOTONICS K.K. | 60,109 | 130,981 | |||||
2,700 | HANKYU HANSHIN HOLDINGS, INC. | 66,428 | 90,916 | |||||
29,900 | HENNGE K.K.(b) | 766,691 | 721,465 | |||||
441 | HIROSE ELECTRIC CO. LTD. | 38,709 | 45,740 | |||||
19,000 | HITACHI LTD. | 295,895 | 553,087 | |||||
6,000 | HITACHI METALS LTD. | 45,405 | 63,179 | |||||
5,300 | HOYA CORP. | 112,594 | 450,812 | |||||
5,700 | HULIC CO. LTD. | 48,487 | 57,875 | |||||
27,500 | IDEMITSU KOSAN CO. LTD. | 706,964 | 630,453 | |||||
14,500 | INNOTECH CORP. | 120,909 | 115,359 | |||||
87,100 | INPEX CORP. | 600,038 | 489,595 | |||||
13,800 | INTAGE HOLDINGS, INC. | 121,039 | 102,183 | |||||
1,300 | INVINCIBLE INVESTMENT CORP. | 761,926 | 290,293 | |||||
22,100 | ITOCHU CORP. | 274,565 | 458,533 | |||||
47,800 | IWAKI & CO. LTD. | 220,919 | 190,616 | |||||
54,800 | J FRONT RETAILING CO. LTD. | 439,863 | 455,238 | |||||
21,900 | JACCS CO. LTD. | 467,646 | 371,161 | |||||
30,400 | JAPAN AVIATION ELECTRONICS INDUSTRY LTD. | 458,316 | 365,367 | |||||
50,300 | JAPAN ELEVATOR SERVICE HOLDINGS CO. LTD. | 1,147,911 | 1,155,800 |
51 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Japan (Cont'd): | ||||||||
7,600 | JAPAN EXCHANGE GROUP, INC. | $66,552 | 134,289 | |||||
88,100 | JAPAN MATERIAL CO. LTD. | 1,061,575 | 1,155,391 | |||||
42,600 | JAPAN POST BANK CO. LTD.(c) | 383,307 | 393,603 | |||||
11 | JAPAN REAL ESTATE INVESTMENT CORP. | 56,230 | 64,487 | |||||
6,000 | JTEKT CORP. | 47,136 | 40,742 | |||||
7,500 | KAJIMA CORP. | 55,030 | 76,970 | |||||
55,774 | KANDENKO CO. LTD. | 535,792 | 444,962 | |||||
12,300 | KANEKA CORP. | 387,968 | 294,592 | |||||
2,600 | KANSAI PAINT CO. LTD. | 22,872 | 49,577 | |||||
10,200 | KAO CORP. | 223,500 | 835,167 | |||||
30,162 | KDDI CORP. | 247,590 | 891,531 | |||||
1,400 | KEIO CORP. | 47,016 | 82,888 | |||||
2,800 | KEISEI ELECTRIC RAILWAY CO. LTD. | 31,995 | 80,855 | |||||
15,724 | KEYENCE CORP. | 1,873,825 | 5,074,378 | |||||
6,000 | KIKKOMAN CORP. | 52,867 | 255,481 | |||||
1,400 | KINTETSU GROUP HOLDINGS CO. LTD. | 43,933 | 64,901 | |||||
10,500 | KIRIN HOLDINGS CO. LTD. | 113,208 | 207,966 | |||||
10,000 | KIRINDO HOLDINGS CO. LTD. | 194,672 | 160,339 | |||||
67,600 | KITZ CORP. | 466,295 | 408,623 | |||||
35,600 | KOBE BUSSAN CO. LTD. | 1,420,974 | 1,404,686 | |||||
2,300 | KONAMI HOLDINGS CORP. | 50,313 | 70,513 | |||||
21,800 | KUBOTA CORP. | 139,630 | 278,853 | |||||
4,200 | KYOCERA CORP. | 144,387 | 249,071 | |||||
49,000 | KYOSAN ELECTRIC MANUFACTURING CO. LTD. | 177,172 | 211,311 | |||||
5,000 | KYOWA KIRIN CO. LTD. | 54,616 | 112,112 | |||||
44,100 | LASERTEC CORP. | 1,320,058 | 2,061,498 | |||||
1,000 | LAWSON, INC. | 47,394 | 55,002 | |||||
1,200 | LINE CORP.(b) | 58,995 | 57,983 | |||||
13,100 | LINTEC CORP. | 259,789 | 276,089 | |||||
5,100 | M3, INC. | 59,204 | 150,713 | |||||
2,300 | MAKITA CORP. | 59,690 | 70,523 | |||||
40,800 | MARUBENI CORP. | 224,957 | 203,413 | |||||
6,500 | MARUI GROUP CO. LTD. | 32,287 | 109,111 | |||||
14,600 | MATSUMOTOKIYOSHI HOLDINGS CO. LTD. | 542,531 | 535,096 | |||||
9,900 | MEIJI HOLDINGS CO. LTD. | 518,863 | 705,335 | |||||
9,400 | MINEBEA MITSUMI, INC. | 95,642 | 140,163 | |||||
597 | MIRAI CORP. | 328,940 | 202,571 | |||||
38,200 | MITSUBISHI CHEMICAL HOLDINGS CORP. | 159,738 | 227,281 | |||||
17,500 | MITSUBISHI CORP. | 230,376 | 371,432 | |||||
40,800 | MITSUBISHI ELECTRIC CORP. | 332,426 | 503,540 | |||||
15,000 | MITSUBISHI ESTATE CO. LTD. | 173,227 | 221,128 | |||||
9,200 | MITSUBISHI GAS CHEMICAL CO., INC. | 84,078 | 99,933 | |||||
2,800 | MITSUBISHI HEAVY INDUSTRIES LTD. | 84,656 | 70,817 | |||||
28,800 | MITSUBISHI UFJ LEASE & FINANCE CO. LTD. | 93,354 | 141,626 | |||||
14,000 | MITSUI & CO. LTD. | 128,045 | 195,022 | |||||
7,400 | MITSUI CHEMICALS, INC. | 87,469 | 140,435 | |||||
39,200 | MONOTARO CO. LTD. | 1,023,964 | 1,041,600 | |||||
8,280 | MS&AD INSURANCE GROUP HOLDINGS, INC. | 177,615 | 231,917 | |||||
37,400 | MUGEN ESTATE CO. LTD. | 216,786 | 145,212 | |||||
11,000 | MURATA MANUFACTURING CO. LTD. | 171,994 | 556,764 | |||||
20,200 | NANTO BANK (THE) LTD. | 470,557 | 416,997 | |||||
3,800 | NGK SPARK PLUG CO. LTD. | 38,830 | 53,488 | |||||
3,200 | NH FOODS LTD. | 80,613 | 111,518 | |||||
16,700 | NICHIAS CORP. | 297,341 | 312,840 | |||||
7,800 | NIDEC CORP. | 129,234 | 404,596 | |||||
50,200 | NIHON M&A CENTER, INC. | 1,413,914 | 1,372,733 | |||||
2,600 | NINTENDO CO. LTD. | 285,625 | 1,002,804 | |||||
24 | NIPPON BUILDING FUND, INC. | 106,735 | 161,253 | |||||
1,900 | NIPPON EXPRESS CO. LTD. | 71,280 | 93,041 | |||||
30 | NIPPON PROLOGIS REIT, INC. | 65,858 | 75,579 | |||||
30,800 | NIPPON TELEGRAPH & TELEPHONE CORP. | 352,733 | 730,891 | |||||
3,100 | NIPPON YUSEN K.K. | 39,009 | 36,852 | |||||
5,200 | NISSAN CHEMICAL CORP. | 59,853 | 189,385 | |||||
4,270 | NISSHIN SEIFUN GROUP, INC. | 41,530 | 71,273 | |||||
1,400 | NISSIN FOODS HOLDINGS CO. LTD. | 59,926 | 116,848 | |||||
2,700 | NITORI HOLDINGS CO. LTD. | 87,310 | 364,960 | |||||
3,400 | NITTO DENKO CORP. | 88,425 | 151,776 |
52 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Japan (Cont'd): | ||||||||
3,500 | NITTO FUJI FLOUR MILLING CO. LTD. | $211,323 | 187,690 | |||||
167,400 | NOMURA HOLDINGS, INC. | 624,178 | 709,147 | |||||
33,600 | NOMURA REAL ESTATE HOLDINGS, INC. | 689,033 | 545,003 | |||||
51 | NOMURA REAL ESTATE MASTER FUND, INC. | 73,868 | 64,359 | |||||
10,301 | NOMURA RESEARCH INSTITUTE LTD. | 53,983 | 217,653 | |||||
8,400 | NSK LTD. | 59,809 | 53,882 | |||||
8,300 | NTT DATA CORP. | 48,334 | 79,830 | |||||
24,100 | NTT DOCOMO, INC. | 371,443 | 757,588 | |||||
13,300 | OBAYASHI CORP. | 58,485 | 113,931 | |||||
33,200 | OLYMPUS CORP. | 211,415 | 479,157 | |||||
1,100 | OMRON CORP. | 31,828 | 57,226 | |||||
5,000 | ONO PHARMACEUTICAL CO. LTD. | 43,040 | 115,093 | |||||
4,900 | ORIENTAL LAND CO. LTD. | 125,270 | 627,072 | |||||
10,700 | ORIX CORP. | 118,187 | 128,671 | |||||
6,100 | OTSUKA HOLDINGS CO. LTD. | 177,230 | 238,812 | |||||
24,900 | PANASONIC CORP. | 163,053 | 190,080 | |||||
20,600 | RAKSUL, INC.(b) | 693,328 | 447,059 | |||||
61,900 | RAKUS CO. LTD. | 907,501 | 913,521 | |||||
9,600 | RAKUTEN, INC. | 50,776 | 72,833 | |||||
2,400 | RECRUIT HOLDINGS CO. LTD. | 31,274 | 61,972 | |||||
184,100 | RESONA HOLDINGS, INC. | 558,258 | 553,972 | |||||
1,400 | RINNAI CORP. | 66,808 | 99,239 | |||||
4,400 | ROHM CO. LTD. | 177,627 | 240,956 | |||||
34,600 | SANKI ENGINEERING CO. LTD. | 423,298 | 388,409 | |||||
13,700 | SANTEN PHARMACEUTICAL CO. LTD. | 96,738 | 235,969 | |||||
14,220 | SBI HOLDINGS, INC. | 122,160 | 207,449 | |||||
3,500 | SECOM CO. LTD. | 142,392 | 290,998 | |||||
7,900 | SEGA SAMMY HOLDINGS, INC. | 77,338 | 96,190 | |||||
49,400 | SEIKITOKYU KOGYO CO. LTD. | 333,527 | 373,441 | |||||
13,600 | SEKISUI CHEMICAL CO. LTD. | 75,858 | 180,376 | |||||
6,600 | SEKISUI HOUSE LTD. | 53,502 | 109,074 | |||||
55,500 | SEVEN & I HOLDINGS CO. LTD. | 1,818,469 | 1,832,741 | |||||
7,300 | SHARP CORP. | 70,607 | 76,487 | |||||
4,400 | SHIMADZU CORP. | 35,702 | 115,821 | |||||
1,100 | SHIMAMURA CO. LTD. | 68,208 | 66,438 | |||||
1,500 | SHIMANO, INC. | 58,204 | 214,838 | |||||
9,200 | SHIN-ETSU CHEMICAL CO. LTD. | 461,684 | 911,802 | |||||
2,800 | SHINSEI BANK LTD. | 33,686 | 37,373 | |||||
4,000 | SHIONOGI & CO. LTD. | 67,679 | 196,824 | |||||
6,000 | SHISEIDO CO. LTD. | 94,950 | 354,431 | |||||
28,700 | SHOWA CORP. | 405,945 | 601,251 | |||||
20,200 | SK-ELECTRONICS CO. LTD. | 355,639 | 176,083 | |||||
1,100 | SMC CORP. | 183,450 | 469,559 | |||||
7,000 | SOFTBANK CORP. | 83,164 | 89,103 | |||||
37,200 | SOFTBANK GROUP CORP. | 425,837 | 1,302,633 | |||||
5,700 | SOMPO HOLDINGS, INC. | 114,918 | 176,315 | |||||
46,400 | SONY CORP. | 1,763,595 | 2,758,165 | |||||
3,300 | STANLEY ELECTRIC CO. LTD. | 41,403 | 65,024 | |||||
4,600 | STARZEN CO. LTD. | 186,228 | 189,577 | |||||
6,100 | SUBARU CORP. | 35,134 | 117,118 | |||||
7,800 | SUMITOMO CORP. | 67,035 | 89,441 | |||||
4,000 | SUMITOMO DAINIPPON PHARMA CO. LTD. | 45,511 | 51,901 | |||||
9,700 | SUMITOMO ELECTRIC INDUSTRIES LTD. | 85,546 | 102,032 | |||||
17,600 | SUMITOMO HEAVY INDUSTRIES LTD. | 504,849 | 317,438 | |||||
1,431 | SUMITOMO MITSUI TRUST HOLDINGS, INC. | 37,029 | 41,340 | |||||
9,600 | SUZUKI MOTOR CORP. | 212,708 | 229,708 | |||||
2,600 | SYSMEX CORP. | 51,707 | 187,985 | |||||
13,700 | T RAD CO. LTD. | 264,171 | 157,650 | |||||
36,400 | T&D HOLDINGS, INC. | 381,317 | 297,185 | |||||
3,700 | TAISEI CORP. | 65,354 | 113,110 | |||||
109,800 | TAKARA LEBEN CO. LTD. | 430,207 | 354,396 | |||||
23,097 | TAKEDA PHARMACEUTICAL CO. LTD. | 787,062 | 706,828 | |||||
74,100 | TATSUTA ELECTRIC WIRE AND CABLE CO. LTD. | 327,189 | 315,399 | |||||
1,100 | TDK CORP. | 52,815 | 85,119 | |||||
5,800 | TEIJIN LTD. | 67,529 | 98,262 | |||||
11,900 | TERUMO CORP. | 125,995 | 409,235 | |||||
2,000 | THK CO. LTD. | 29,290 | 40,834 |
53 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Japan (Cont'd): | ||||||||
1,800 | TOHO CO. LTD. | $35,914 | 55,033 | |||||
3,600 | TOHO GAS CO. LTD. | 88,559 | 164,387 | |||||
8,300 | TOHOKU ELECTRIC POWER CO., INC. | 66,731 | 80,131 | |||||
14,400 | TOKIO MARINE HOLDINGS, INC. | 359,676 | 660,420 | |||||
30,600 | TOKYO ELECTRIC POWER CO. HOLDINGS, INC.(b) | 114,476 | 106,925 | |||||
3,300 | TOKYO ELECTRON LTD. | 135,391 | 620,530 | |||||
6,500 | TOKYO GAS CO. LTD. | 114,327 | 153,998 | |||||
7,100 | TOKYO SEIMITSU CO. LTD. | 212,364 | 201,920 | |||||
13,100 | TOKYU CORP. | 113,351 | 206,358 | |||||
22,600 | TOKYU FUDOSAN HOLDINGS CORP. | 81,378 | 108,173 | |||||
9,500 | TORAY INDUSTRIES, INC. | 37,219 | 41,194 | |||||
3,300 | TOTO LTD. | 41,050 | 109,847 | |||||
75,200 | TOYO CONSTRUCTION CO. LTD. | 312,593 | 305,057 | |||||
3,000 | TOYO SUISAN KAISHA LTD. | 74,690 | 145,247 | |||||
4,200 | TOYOTA INDUSTRIES CORP. | 112,791 | 201,537 | |||||
46,662 | TOYOTA MOTOR CORP. | 1,594,403 | 2,809,135 | |||||
2,100 | TOYOTA TSUSHO CORP. | 24,930 | 49,441 | |||||
1,100 | TREND MICRO, INC. | 35,989 | 54,333 | |||||
19,200 | UBE INDUSTRIES LTD. | 387,205 | 294,232 | |||||
8,000 | UNICHARM CORP. | 75,859 | 300,379 | |||||
67 | UNITED URBAN INVESTMENT CORP. | 96,045 | 66,479 | |||||
5,500 | USS CO. LTD. | 64,763 | 75,758 | |||||
1,500 | WELCIA HOLDINGS CO. LTD. | 54,205 | 105,608 | |||||
4,300 | WEST JAPAN RAILWAY CO. | 147,370 | 294,478 | |||||
2,500 | YAKULT HONSHA CO. LTD. | 74,984 | 148,052 | |||||
20,700 | YAMADA DENKI CO. LTD. | 77,049 | 82,654 | |||||
46,400 | YAMAGUCHI FINANCIAL GROUP, INC. | 326,523 | 262,783 | |||||
5,400 | YAMAHA MOTOR CO. LTD. | 59,297 | 65,228 | |||||
4,500 | YAMAZAKI BAKING CO. LTD. | 53,763 | 94,223 | |||||
5,000 | YASKAWA ELECTRIC CORP. | 48,019 | 137,401 | |||||
10,100 | YUASA TRADING CO. LTD. | 293,394 | 267,276 | |||||
28,500 | Z HOLDINGS CORP. | 75,341 | 91,673 | |||||
59,159,029 | 80,713,443 | 14.76% | ||||||
Jersey: | ||||||||
116,287 | SANNE GROUP PLC | 812,583 | 897,753 | |||||
217,400 | XLMEDIA PLC | 170,743 | 41,962 | |||||
983,326 | 939,715 | 0.17% | ||||||
Macau: | ||||||||
172,800 | SANDS CHINA LTD. | 551,191 | 628,882 | |||||
551,191 | 628,882 | 0.11% | ||||||
Malaysia: | ||||||||
274,300 | RHB BANK BHD. | 377,864 | 295,237 | |||||
377,864 | 295,237 | 0.05% | ||||||
Mexico: | ||||||||
201,200 | BANCO DEL BAJIO S.A.(e) | 360,811 | 173,699 | |||||
64,700 | QUALITAS CONTROLADORA S.A.B. DE C.V. | 232,833 | 166,179 | |||||
270,000 | REGIONAL S.A.B. DE C.V. | 1,129,181 | 711,236 | |||||
1,053,734 | WAL-MART DE MEXICO S.A.B. DE C.V. | 2,681,393 | 2,476,369 | |||||
4,404,218 | 3,527,483 | 0.64% | ||||||
Netherlands: | ||||||||
60,054 | ABN AMRO BANK N.V. - C.V.A.(e) | 566,761 | 492,963 | |||||
13,958 | AEGON N.V. | 36,098 | 35,407 | |||||
3,963 | AKZO NOBEL N.V. | 194,171 | 261,266 | |||||
154,274 | ALTICE EUROPE N.V.(b) | 611,279 | 596,359 | |||||
7,205 | ASML HOLDING N.V. | 116,865 | 1,914,805 | |||||
14,743 | ASML HOLDING N.V. (REGISTERED) | 2,939,685 | 3,857,359 | |||||
3,763 | EXOR N.V. | 99,990 | 193,831 | |||||
22,294 | FORFARMERS N.V. | 142,814 | 138,490 | |||||
2,765 | HEINEKEN HOLDING N.V. | 148,540 | 212,208 | |||||
3,662 | HEINEKEN N.V. | 128,663 | 306,502 | |||||
14,208 | IMCD N.V. | 1,081,212 | 1,010,440 | |||||
600,732 | ING GROEP N.V. | 5,817,329 | 3,146,672 | |||||
19,595 | INTERTRUST N.V.(e) | 321,331 | 245,301 | |||||
19,620 | JUST EAT TAKEAWAY.COM N.V.(b)(e) | 1,617,085 | 1,479,060 | |||||
17,656 | KONINKLIJKE AHOLD DELHAIZE N.V. | 203,381 | 413,209 |
54 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Netherlands (Cont'd): | ||||||||
3,368 | KONINKLIJKE DSM N.V. | $132,647 | 382,720 | |||||
117,294 | KONINKLIJKE KPN N.V. | 252,901 | 280,559 | |||||
20,095 | KONINKLIJKE PHILIPS N.V. | 343,642 | 813,340 | |||||
29,636 | NXP SEMICONDUCTORS N.V. | 2,603,622 | 2,457,713 | |||||
8,117 | QIAGEN N.V.(b) | 119,394 | 329,407 | |||||
3,238 | RANDSTAD N.V. | 99,928 | 114,404 | |||||
53,444 | ROYAL DUTCH SHELL PLC, CLASS A | 1,152,323 | 935,259 | |||||
79,900 | ROYAL DUTCH SHELL PLC, CLASS B | 1,756,032 | 1,339,676 | |||||
12,197 | SIGNIFY N.V.(b)(e) | 353,260 | 236,922 | |||||
6,329 | WOLTERS KLUWER N.V. | 110,613 | 449,991 | |||||
20,949,566 | 21,643,863 | 3.96% | ||||||
New Zealand: | ||||||||
18,572 | AUCKLAND INTERNATIONAL AIRPORT LTD. | 59,924 | 54,734 | |||||
31,147 | HALLENSTEIN GLASSON HOLDINGS LTD. | 115,879 | 49,887 | |||||
175,803 | 104,621 | 0.02% | ||||||
Norway: | ||||||||
21,245 | BAKKAFROST P/F | 1,516,425 | 1,009,729 | |||||
9,200 | DNB ASA | 37,422 | 103,180 | |||||
74,772 | KITRON ASA | 79,048 | 61,626 | |||||
10,286 | ORKLA ASA | 69,398 | 88,022 | |||||
57,040 | STOREBRAND ASA | 364,066 | 228,742 | |||||
9,490 | TGS NOPEC GEOPHYSICAL CO. ASA | 257,799 | 106,493 | |||||
2,780 | YARA INTERNATIONAL ASA | 67,549 | 87,957 | |||||
2,391,707 | 1,685,749 | 0.31% | ||||||
Philippines: | ||||||||
573,800 | FIRST GEN CORP. | 286,157 | 185,192 | |||||
9,000 | GLOBE TELECOM, INC. | 319,161 | 342,131 | |||||
605,318 | 527,323 | 0.10% | ||||||
Portugal: | ||||||||
85,477 | ALTRI SGPS S.A. | 583,770 | 339,875 | |||||
20,567 | EDP - ENERGIAS DE PORTUGAL S.A. | 48,529 | 82,643 | |||||
4,422 | GALP ENERGIA SGPS S.A. | 68,836 | 50,487 | |||||
10,043 | JERONIMO MARTINS SGPS S.A. | 116,594 | 181,653 | |||||
817,729 | 654,658 | 0.12% | ||||||
Russia: | ||||||||
11,528 | EVRAZ PLC | 58,858 | 32,898 | |||||
42,330 | HEADHUNTER GROUP PLC ADR(f) | 869,588 | 676,010 | |||||
257,400 | RUSHYDRO PJSC ADR(c)(f) | 218,665 | 185,521 | |||||
1,147,111 | 894,429 | 0.16% | ||||||
Singapore: | ||||||||
302,700 | AEM HOLDINGS LTD. | 265,969 | 353,000 | |||||
529,900 | ASCOTT RESIDENCE TRUST | 504,028 | 291,890 | |||||
128,700 | CAPITALAND LTD. | 257,399 | 256,915 | |||||
41,800 | CAPITALAND MALL TRUST | 43,789 | 52,681 | |||||
7,200 | CITY DEVELOPMENTS LTD. | 27,082 | 36,499 | |||||
29,000 | DBS GROUP HOLDINGS LTD. | 169,797 | 379,180 | |||||
374,800 | FRENCKEN GROUP LTD. | 253,379 | 150,106 | |||||
23,500 | KEPPEL CORP. LTD. | 63,825 | 87,512 | |||||
7,840 | KEPPEL REIT | 3,183 | 5,245 | |||||
8,000 | OVERSEA-CHINESE BANKING CORP. LTD. | 47,249 | 48,665 | |||||
13,000 | SINGAPORE EXCHANGE LTD. | 40,226 | 83,706 | |||||
116,400 | SINGAPORE TELECOMMUNICATIONS LTD. | 194,101 | 208,146 | |||||
5,300 | UNITED OVERSEAS BANK LTD. | 36,806 | 72,581 | |||||
23,900 | UOL GROUP LTD. | 89,591 | 110,039 | |||||
42,700 | WILMAR INTERNATIONAL LTD. | 88,324 | 96,582 | |||||
2,084,748 | 2,232,747 | 0.41% | ||||||
South Africa: | ||||||||
33,591 | AFRICAN RAINBOW MINERALS LTD. | 339,096 | 188,344 | |||||
26,593 | BARLOWORLD LTD. | 218,512 | 95,912 | |||||
79,610 | INVESTEC PLC | 490,976 | 149,623 | |||||
117,469 | METAIR INVESTMENTS LTD. | 184,301 | 91,854 |
55 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
South Africa (Cont'd): | ||||||||
83,378 | TELKOM S.A. SOC LTD. | $425,342 | 95,419 | |||||
1,658,227 | 621,152 | 0.11% | ||||||
South Korea: | ||||||||
3,487 | DAELIM INDUSTRIAL CO. LTD. | 294,468 | 208,950 | |||||
17,418 | DAEWON PHARMACEUTICAL CO. LTD. | 218,165 | 202,343 | |||||
20,489 | DB HITEK CO. LTD. | 270,468 | 359,559 | |||||
15,574 | DOUZONE BIZON CO. LTD. | 852,089 | 1,024,866 | |||||
5,830 | GS HOLDINGS CORP. | 245,188 | 174,942 | |||||
2,154 | HYUNDAI GLOVIS CO. LTD. | 274,512 | 158,801 | |||||
46,124 | HYUNDAI GREENFOOD CO. LTD. | 465,431 | 246,896 | |||||
13,688 | KC TECH CO. LTD. | 209,922 | 183,153 | |||||
30,770 | LG UPLUS CORP. | 348,896 | 271,260 | |||||
10,183 | LOTTE FINE CHEMICAL CO. LTD. | 404,389 | 257,144 | |||||
4,775 | MAEIL DAIRIES CO. LTD. | 380,764 | 267,187 | |||||
28,475 | NAVER CORP. | 3,584,789 | 3,917,117 | |||||
148,811 | SAMSUNG ELECTRONICS CO. LTD. | 4,614,835 | 5,783,407 | |||||
14,251 | SAMSUNG SECURITIES CO. LTD. | 434,059 | 338,555 | |||||
21,239 | UNITEST, INC. | 237,890 | 199,163 | |||||
8,433 | VIEWORKS CO. LTD. | 182,467 | 210,745 | |||||
13,018,332 | 13,804,088 | 2.52% | ||||||
Spain: | ||||||||
1,260 | ACCIONA S.A. | 78,312 | 134,535 | |||||
25 | ACS ACTIVIDADES DE CONSTRUCCION Y SERVICIOS S.A. | 727 | 489 | |||||
583 | AENA S.M.E. S.A.(e) | 50,200 | 63,624 | |||||
49,316 | AMADEUS IT GROUP S.A. | 3,658,172 | 2,338,833 | |||||
284,591 | BANCO DE SABADELL S.A. | 262,572 | 146,227 | |||||
424,628 | BANCO SANTANDER S.A. | 1,333,535 | 1,033,523 | |||||
1,007,762 | BANKIA S.A.(c) | 2,809,970 | 1,125,080 | |||||
5,084 | ENAGAS S.A. | 87,894 | 101,135 | |||||
5,249 | FERROVIAL S.A. | 86,954 | 126,044 | |||||
15,282 | GRIFOLS S.A. | 273,864 | 520,507 | |||||
55,459 | IBERDROLA S.A. | 276,479 | 547,602 | |||||
2,620 | INDUSTRIA DE DISENO TEXTIL S.A. | 26,761 | 68,020 | |||||
53,086 | MEDIASET ESPANA COMUNICACION S.A. | 352,561 | 196,960 | |||||
13,196 | MIQUEL Y COSTAS & MIQUEL S.A. | 241,236 | 167,101 | |||||
16,974 | NATURGY ENERGY GROUP S.A.(c) | 274,071 | 300,486 | |||||
33,279 | RED ELECTRICA CORP. S.A. | 472,607 | 599,248 | |||||
10,285,915 | 7,469,414 | 1.37% | ||||||
Sweden: | ||||||||
22,200 | ASSA ABLOY AB, CLASS B | 89,466 | 419,691 | |||||
103,153 | ATLAS COPCO AB, CLASS A | 2,864,139 | 3,466,749 | |||||
4,297 | ATLAS COPCO AB, CLASS B | 32,617 | 126,711 | |||||
154,830 | AVANZA BANK HOLDING AB | 1,337,232 | 1,292,005 | |||||
47,216 | BEIJER REF AB | 1,132,925 | 850,326 | |||||
75,639 | BIOTAGE AB | 837,243 | 760,527 | |||||
18,403 | BOLIDEN AB | 471,820 | 335,501 | |||||
29,631 | CELLAVISION AB | 978,881 | 731,904 | |||||
7,501 | ELECTROLUX AB, CLASS B | 79,015 | 93,408 | |||||
7,501 | ELECTROLUX PROFESSIONAL AB, CLASS B(b) | 16,773 | 21,610 | |||||
10,554 | EPIROC AB, CLASS A | 27,811 | 104,626 | |||||
4,228 | EPIROC AB, CLASS B | 10,062 | 41,930 | |||||
8,915 | ESSITY AB, CLASS B | 71,883 | 274,915 | |||||
15,209 | HENNES & MAURITZ AB, CLASS B | 232,613 | 195,694 | |||||
3,872 | HEXAGON AB, CLASS B | 66,930 | 165,155 | |||||
41,907 | HUMANA AB | 223,180 | 164,677 | |||||
19,832 | HUSQVARNA AB, CLASS B | 75,097 | 99,711 | |||||
8,821 | INDUSTRIVARDEN AB, CLASS C | 96,124 | 172,198 | |||||
33,924 | INDUTRADE AB | 1,025,117 | 922,347 | |||||
11,210 | INVESTOR AB, CLASS B | 160,645 | 515,597 | |||||
56,909 | INWIDO AB | 320,042 | 327,850 | |||||
3,000 | KINNEVIK AB, CLASS B | 51,225 | 49,855 | |||||
7,801 | KNOW IT AB | 144,665 | 106,999 | |||||
30,690 | LUNDIN PETROLEUM AB | 503,538 | 587,681 | |||||
77,305 | MEDICOVER AB, CLASS B(b) | 670,793 | 662,645 | |||||
77,913 | NOBIA AB | 452,973 | 277,493 | |||||
46,408 | NOBINA AB(e) | 300,038 | 252,683 |
56 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Sweden (Cont'd): | ||||||||
65,911 | RESURS HOLDING AB(e) | $404,333 | 226,507 | |||||
18,295 | SANDVIK AB | 146,769 | 259,813 | |||||
15,975 | SECTRA AB, CLASS B(b) | 518,996 | 605,422 | |||||
13,348 | SECURITAS AB, CLASS B | 106,689 | 144,471 | |||||
35,236 | SKANDINAVISKA ENSKILDA BANKEN AB, CLASS A(b) | 139,725 | 238,353 | |||||
3,212 | SKANSKA AB, CLASS B(b) | 33,704 | 48,955 | |||||
8,600 | SVENSKA CELLULOSA AB S.C.A., CLASS B(b) | 15,915 | 86,940 | |||||
27,723 | SVENSKA HANDELSBANKEN AB, CLASS A(b) | 171,321 | 232,159 | |||||
50,278 | SWEDBANK AB, CLASS A | 589,549 | 561,441 | |||||
60,732 | TELEFONAKTIEBOLAGET LM ERICSSON, CLASS B | 314,960 | 495,657 | |||||
35,506 | TETHYS OIL AB | 259,465 | 170,632 | |||||
70,205 | VITEC SOFTWARE GROUP AB, CLASS B | 1,210,148 | 1,264,242 | |||||
25,829 | VOLVO AB, CLASS B | 172,562 | 310,586 | |||||
16,356,983 | 17,665,666 | 3.23% | ||||||
Switzerland: | ||||||||
342,392 | ABB LTD. (REGISTERED)(c) | 6,730,131 | 6,020,125 | |||||
2,903 | ADECCO GROUP A.G. (REGISTERED) | 90,512 | 114,540 | |||||
80,419 | ALCON, INC.(b) | 4,368,499 | 4,103,945 | |||||
484 | BALOISE HOLDING A.G. (REGISTERED) | 26,452 | 63,529 | |||||
1,098 | BUCHER INDUSTRIES A.G. (REGISTERED) | 236,188 | 291,647 | |||||
35 | CHOCOLADEFABRIKEN LINDT & SPRUENGLI A.G. (PARTICIPATION CERTIFICATE) | 50,308 | 295,699 | |||||
3 | CHOCOLADEFABRIKEN LINDT & SPRUENGLI A.G. (REGISTERED) | 75,352 | 262,447 | |||||
28,752 | CHUBB LTD. | 2,743,388 | 3,211,311 | |||||
69,363 | CIE FINANCIERE RICHEMONT S.A. (REGISTERED) | 4,792,799 | 3,801,412 | |||||
4,900 | DKSH HOLDING A.G. | 291,993 | 243,661 | |||||
3,300 | DUFRY A.G. (REGISTERED)(b) | 287,546 | 102,295 | |||||
5,722 | GEBERIT A.G. (REGISTERED) | 1,904,795 | 2,524,182 | |||||
143 | GIVAUDAN S.A. (REGISTERED) | 85,811 | 443,361 | |||||
1,807 | IDORSIA LTD.(b) | 18,603 | 47,027 | |||||
18,285 | JULIUS BAER GROUP LTD.(b) | 565,062 | 624,268 | |||||
74,673 | LAFARGEHOLCIM LTD. (REGISTERED)(b) | 3,694,675 | 2,729,803 | |||||
8,089 | LANDIS+GYR GROUP A.G.(b) | 568,369 | 557,534 | |||||
921 | LONZA GROUP A.G. (REGISTERED)(b) | 60,743 | 383,183 | |||||
97,494 | NESTLE S.A. (REGISTERED) | 4,521,359 | 10,048,533 | |||||
70,311 | NOVARTIS A.G. (REGISTERED) | 3,816,442 | 5,810,855 | |||||
18,713 | PARGESA HOLDING S.A. (BEARER) | 1,319,388 | 1,242,209 | |||||
52 | PARTNERS GROUP HOLDING A.G. | 37,486 | 35,967 | |||||
12,434 | ROCHE HOLDING A.G. | 1,624,059 | 4,042,468 | |||||
1,423 | SCHINDLER HOLDING A.G. (PARTICIPATION CERTIFICATE) | 118,492 | 312,781 | |||||
636 | SCHINDLER HOLDING A.G. (REGISTERED) | 78,480 | 134,550 | |||||
125 | SGS S.A. (REGISTERED) | 140,156 | 289,955 | |||||
26,267 | SIKA A.G. (REGISTERED) | 3,223,112 | 4,346,044 | |||||
1,300 | SONOVA HOLDING A.G. (REGISTERED) | 84,464 | 234,697 | |||||
32,211 | STMICROELECTRONICS N.V. | 517,002 | 701,030 | |||||
635 | SULZER A.G. (REGISTERED) | 30,609 | 40,148 | |||||
743 | SWISS LIFE HOLDING A.G. (REGISTERED) | 101,194 | 252,969 | |||||
858 | SWISS PRIME SITE A.G. (REGISTERED) | 75,149 | 84,223 | |||||
214 | SWISSCOM A.G. (REGISTERED) | 59,601 | 115,369 | |||||
3,929 | TECAN GROUP A.G. (REGISTERED) | 765,790 | 1,180,203 | |||||
445,055 | UBS GROUP A.G. (REGISTERED)(b) | 6,443,619 | 4,159,684 | |||||
9,681 | VAT GROUP A.G.(b)(e) | 1,322,294 | 1,341,230 | |||||
100 | VETROPACK HOLDING A.G. (BEARER) | 256,087 | 265,713 | |||||
31,570 | WIZZ AIR HOLDINGS PLC(b)(e) | 1,279,610 | 900,232 | |||||
4,693 | ZEHNDER GROUP A.G. (REGISTERED) | 178,951 | 179,648 | |||||
4,517 | ZURICH INSURANCE GROUP A.G. | 878,484 | 1,603,350 | |||||
53,463,054 | 63,141,827 | 11.54% | ||||||
Taiwan: | ||||||||
57,000 | AIRTAC INTERNATIONAL GROUP | 685,745 | 835,689 | |||||
305,000 | ASIA CEMENT CORP. | 434,632 | 397,439 | |||||
50,000 | BIOTEQUE CORP. | 216,137 | 154,361 | |||||
125,000 | CHC HEALTHCARE GROUP | 178,135 | 135,375 | |||||
124,000 | CHIPBOND TECHNOLOGY CORP. | 239,179 | 203,009 | |||||
419,000 | CHIPMOS TECHNOLOGIES, INC. | 449,603 | 363,563 | |||||
179,000 | ESON PRECISION IND CO. LTD. | 236,267 | 153,937 | |||||
38,000 | GLOBALWAFERS CO. LTD. | 372,583 | 420,593 |
57 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Taiwan (Cont'd): | ||||||||
145,000 | JARLLYTEC CO. LTD. | $327,630 | 284,530 | |||||
241,000 | MIRLE AUTOMATION CORP. | 311,936 | 242,317 | |||||
90,000 | RADIANT OPTO-ELECTRONICS CORP. | 361,908 | 231,738 | |||||
1,260,000 | SINOPAC FINANCIAL HOLDINGS CO. LTD. | 492,562 | 460,488 | |||||
95,662 | TAIWAN SEMICONDUCTOR MANUFACTURING CO. LTD. ADR(f) | 2,063,336 | 4,571,687 | |||||
82,000 | TOPCO SCIENTIFIC CO. LTD. | 252,353 | 242,234 | |||||
644,000 | WISTRON CORP. | 522,109 | 521,889 | |||||
90,000 | ZHEN DING TECHNOLOGY HOLDING LTD. | 335,681 | 271,968 | |||||
7,479,796 | 9,490,817 | 1.74% | ||||||
Thailand: | ||||||||
432,100 | PRUKSA HOLDING PCL (REGISTERED) | 233,658 | 121,792 | |||||
233,658 | 121,792 | 0.02% | ||||||
Turkey: | ||||||||
53,800 | COCA-COLA ICECEK A.S. | 315,265 | 281,031 | |||||
315,265 | 281,031 | 0.05% | ||||||
United Arab Emirates: | ||||||||
187,397 | NETWORK INTERNATIONAL HOLDINGS PLC(b)(e) | 1,324,742 | 919,685 | |||||
1,324,742 | 919,685 | 0.17% | ||||||
United Kingdom: | ||||||||
26,524 | 3I GROUP PLC | 99,606 | 259,580 | |||||
19,372 | ADMIRAL GROUP PLC | 489,866 | 534,536 | |||||
38,656 | AGGREKO PLC | 408,897 | 232,870 | |||||
52,849 | ANGLO AMERICAN PLC | 411,011 | 923,498 | |||||
26,375 | ASTRAZENECA PLC | 983,695 | 2,356,028 | |||||
15,575 | AUTO TRADER GROUP PLC(e) | 78,207 | 84,645 | |||||
15,941 | AVIVA PLC | 45,428 | 52,923 | |||||
43,051 | BABCOCK INTERNATIONAL GROUP PLC | 300,400 | 204,065 | |||||
46,467 | BAE SYSTEMS PLC | 230,164 | 299,835 | |||||
113,471 | BAKKAVOR GROUP PLC(e) | 166,389 | 147,667 | |||||
5,800 | BELLWAY PLC | 292,883 | 154,712 | |||||
2,391 | BERKELEY GROUP HOLDINGS PLC | 71,739 | 106,880 | |||||
453,510 | BP PLC | 2,040,501 | 1,929,309 | |||||
34,817 | BRITISH AMERICAN TOBACCO PLC | 1,045,079 | 1,188,944 | |||||
5,069 | BUNZL PLC | 39,524 | 102,206 | |||||
8,202 | BURBERRY GROUP PLC | 40,549 | 134,186 | |||||
124,415 | CNH INDUSTRIAL N.V. | 1,051,535 | 711,855 | |||||
36,506 | CNH INDUSTRIAL N.V. (NEW YORK EXCHANGE) | 332,085 | 204,799 | |||||
342,817 | COMPASS GROUP PLC | 4,352,929 | 5,356,383 | |||||
48,485 | CRANEWARE PLC | 1,207,076 | 1,147,492 | |||||
2,451 | CRODA INTERNATIONAL PLC | 92,559 | 129,622 | |||||
43,200 | DART GROUP PLC | 431,313 | 294,565 | |||||
28,991 | DECHRA PHARMACEUTICALS PLC | 1,073,544 | 844,226 | |||||
41,868 | DIAGEO PLC | 517,924 | 1,340,977 | |||||
54,776 | EASYJET PLC | 636,989 | 394,201 | |||||
4,078 | FERGUSON PLC | 79,827 | 255,001 | |||||
58,240 | FEVERTREE DRINKS PLC | 1,475,371 | 872,627 | |||||
25,347 | FIAT CHRYSLER AUTOMOBILES N.V. | 171,523 | 182,655 | |||||
10,222 | FIAT CHRYSLER AUTOMOBILES N.V. (NEW YORK EXCHANGE) | 17,872 | 73,496 | |||||
17,745 | GB GROUP PLC | 121,770 | 128,054 | |||||
61,328 | GLAXOSMITHKLINE PLC | 953,826 | 1,150,351 | |||||
395,060 | HSBC HOLDINGS PLC | 2,533,787 | 2,224,813 | |||||
88,917 | IMI PLC | 1,163,353 | 822,442 | |||||
2,562 | IMPERIAL BRANDS PLC | 54,148 | 47,489 | |||||
187,520 | INTEGRAFIN HOLDINGS PLC | 1,227,170 | 1,012,493 | |||||
1,626 | INTERCONTINENTAL HOTELS GROUP PLC | 74,220 | 69,618 | |||||
32,745 | INTERNATIONAL CONSOLIDATED AIRLINES GROUP S.A. | 90,834 | 87,276 | |||||
255,328 | J SAINSBURY PLC | 671,494 | 664,951 | |||||
112,511 | JOHN WOOD GROUP PLC | 883,286 | 215,949 | |||||
2,532 | JOHNSON MATTHEY PLC | 46,137 | 56,269 | |||||
202,670 | KINGFISHER PLC | 498,371 | 365,058 | |||||
9,725 | LAND SECURITIES GROUP PLC | 61,351 | 67,003 | |||||
5,744,223 | LLOYDS BANKING GROUP PLC | 4,145,362 | 2,265,199 | |||||
6,030 | LONDON STOCK EXCHANGE GROUP PLC | 69,795 | 543,313 | |||||
157,221 | MAN GROUP PLC | 205,784 | 242,131 |
58 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
United Kingdom (Cont'd): | ||||||||
300,257 | MARKS & SPENCER GROUP PLC | $724,735 | 368,685 | |||||
300,659 | MARSTON'S PLC | 477,602 | 155,202 | |||||
7,217 | MEGGITT PLC | 16,687 | 26,145 | |||||
40,126 | MELROSE INDUSTRIES PLC | 61,460 | 45,314 | |||||
91,046 | MICRO FOCUS INTERNATIONAL PLC | 384,177 | 450,374 | |||||
145,235 | MORGAN ADVANCED MATERIALS PLC | 467,561 | 333,255 | |||||
21,838 | NATIONAL GRID PLC | 132,913 | 255,952 | |||||
2,292 | NEXT PLC | 46,205 | 115,450 | |||||
39,805 | NINETY ONE PLC(b) | 72,784 | 85,485 | |||||
103,083 | ONESAVINGS BANK PLC | 483,067 | 319,777 | |||||
12,212 | RECKITT BENCKISER GROUP PLC | 510,135 | 937,242 | |||||
62,559 | REDDE NORTHGATE PLC | 266,694 | 107,605 | |||||
57,235 | REDROW PLC | 447,916 | 254,915 | |||||
47,054 | RELX PLC | 574,911 | 1,012,626 | |||||
171,457 | RELX PLC (LONDON EXCHANGE) | 2,011,204 | 3,675,545 | |||||
19,426 | RIO TINTO LTD. | 611,119 | 1,028,288 | |||||
34,005 | RIO TINTO PLC | 893,599 | 1,560,923 | |||||
111,924 | ROLLS-ROYCE HOLDINGS PLC(b) | 883,296 | 471,021 | |||||
586,609 | ROYAL BANK OF SCOTLAND GROUP PLC | 1,596,793 | 818,237 | |||||
77,712 | ROYAL MAIL PLC | 220,280 | 120,390 | |||||
21,874 | SAGE GROUP (THE) PLC | 84,121 | 160,205 | |||||
17,077 | SEGRO PLC | 76,884 | 161,495 | |||||
114,270 | SENIOR PLC | 287,158 | 99,259 | |||||
13,084 | SEVERN TRENT PLC | 276,407 | 369,027 | |||||
243,129 | SMITH & NEPHEW PLC | 5,253,279 | 4,314,466 | |||||
3,071 | SMITHS GROUP PLC | 37,103 | 46,492 | |||||
95,570 | SOFTCAT PLC | 1,202,253 | 1,228,250 | |||||
9,489 | SPECTRIS PLC | 300,454 | 288,295 | |||||
297,861 | SPEEDY HIRE PLC | 207,072 | 182,354 | |||||
10,183 | SPIRAX-SARCO ENGINEERING PLC | 1,034,348 | 1,028,664 | |||||
13,997 | SSE PLC | 244,706 | 225,899 | |||||
82,413 | STHREE PLC | 315,585 | 235,414 | |||||
62,229 | TATE & LYLE PLC | 582,881 | 505,387 | |||||
912,988 | TESCO PLC | 2,339,832 | 2,585,365 | |||||
97,889 | TP ICAP PLC | 415,366 | 410,552 | |||||
66,425 | TYMAN PLC | 194,645 | 127,779 | |||||
9,697 | UNILEVER N.V. | 242,933 | 477,771 | |||||
24,427 | UNILEVER PLC | 554,792 | 1,233,161 | |||||
8,137 | UNITED UTILITIES GROUP PLC | 56,989 | 90,864 | |||||
4,916 | WHITBREAD PLC | 158,643 | 184,090 | |||||
9,973 | WILLIS TOWERS WATSON PLC | 1,544,340 | 1,693,914 | |||||
26,031 | WPP PLC | 171,266 | 177,367 | |||||
57,449,368 | 58,450,693 | 10.69% | ||||||
United States: | ||||||||
183,492 | DIVERSIFIED GAS & OIL PLC | 265,564 | 199,715 | |||||
19,837 | ELASTIC N.V.(b) | 1,752,954 | 1,107,103 | |||||
45,410 | FAR POINT ACQUISITION CORP., CLASS A(b) | 491,724 | 459,549 | |||||
3,424 | FIDELITY NATIONAL INFORMATION SERVICES, INC. | 289,873 | 416,495 | |||||
4,277 | METTLER-TOLEDO INTERNATIONAL, INC.(b) | 2,543,268 | 2,953,311 | |||||
3,157 | NEWMONT CORP. | 101,845 | 141,238 | |||||
32,180 | RESMED, INC. | 3,548,292 | 4,739,792 | |||||
177,606 | SCHLUMBERGER LTD. | 2,965,447 | 2,395,905 | |||||
19,579 | STERIS PLC | 3,199,804 | 2,740,473 | |||||
15,158,771 | 15,153,581 | 2.77% | ||||||
Sub-total Common Stocks: | 476,490,676 | 527,698,109 | 96.47% | |||||
Preferred Stocks: | ||||||||
Brazil: | ||||||||
53,893 | AZUL S.A. ADR(b)(f) | 1,391,689 | 549,170 | |||||
263,400 | CIA DE SANEAMENTO DO PARANA, 1.49%(g) | 350,151 | 243,828 | |||||
259,574 | TELEFONICA BRASIL S.A. ADR, 2.57%(f)(g) | 3,256,219 | 2,473,740 | |||||
4,998,059 | 3,266,738 | 0.60% | ||||||
Germany: | ||||||||
1,734 | BAYERISCHE MOTOREN WERKE A.G., 6.55%(g) | 59,510 | 75,863 | |||||
1,333 | HENKEL A.G. & CO. KGAA, 2.52%(g) | 111,001 | 108,705 | |||||
10,197 | JUNGHEINRICH A.G., 3.57%(g) | 253,285 | 158,397 | |||||
272 | SARTORIUS A.G., 0.32%(g) | 45,992 | 66,480 |
59 | (Continued) |
Shares | Security | Cost | Fair value (a) | Percent of net assets | ||||
Germany (Cont'd): | ||||||||
2,299 | STO S.E. & CO. KGAA, 0.37%(g) | $248,295 | 210,076 | |||||
770 | VOLKSWAGEN A.G., 6.56%(g) | 99,997 | 91,741 | |||||
818,080 | 711,262 | 0.13% | ||||||
South Korea: | ||||||||
48,493 | SAMSUNG ELECTRONICS CO. LTD., 3.60%(g) | 1,439,460 | 1,582,932 | |||||
1,439,460 | 1,582,932 | 0.29% | ||||||
Sub-total Preferred Stocks: | 7,255,599 | 5,560,932 | 1.02% | |||||
Warrants: | ||||||||
Ireland: | ||||||||
110,509 | RYANAIR HOLDINGS PLC(b) | 1,086,788 | 1,119,942 | |||||
1,086,788 | 1,119,942 | 0.20% | ||||||
Sub-total Warrants: | 1,086,788 | 1,119,942 | 0.20% | |||||
Short-Term Investments: | ||||||||
11,316,575 | FIDELITY INVESTMENTS MONEY MARKET GOVERNMENT PORTFOLIO(h) | 11,316,575 | 11,316,575 | |||||
8,575,753 | NORTHERN INSTITUTIONAL FUNDS - U.S. GOVERNMENT SELECT PORTFOLIO, 0.37%(i) | 8,575,753 | 8,575,753 | |||||
Sub-total Short-Term Investments: | 19,892,328 | 19,892,328 | 3.64% | |||||
Grand total | $504,725,391 | 554,271,311 | 101.33% |
Notes to Schedule of Investments: | |
(a) | Investments in U.S. and foreign equity securities are valued at the last sales price or the regular trading session closing price on the principal exchange or market where the securities are traded. Foreign security values are stated in U.S. dollars. |
(b) | Non-income producing assets. |
(c) | Security is either wholly or partially on loan. |
(d) | Security has been deemed worthless and is a Level 3 investment. |
(e) | Securities 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. The value of these securities is determined by valuations supplied by a pricing service or brokers, or, if not available, in accordance with procedures established by the Board of Trustees. |
(f) | Securities are American Depositary Receipts of companies based outside of the United States representing 3.80% of net assets as of March 31,2020. |
(g) | Current yield is disclosed. Dividends are calculated based on a percentage of the issuer’s net income. |
(h) | Investment relates to cash collateral received from portfolio securities loaned. |
(i) | The short-term investment is a money market portfolio of the investment company, Northern Institutional Funds. At December 31, 2019, the value of the Clearwater International Fund's investment in the U.S. Government Select Portfolio of the Northern Institutional Funds was $32,652,940 with net sales of $24,077,187 during the three months ended March 31,2020. |
Industry Sector | Percent of Long-Term Investments | |
Communication Services | 5.67% | |
Consumer Discretionary | 11.72 | |
Consumer Staples | 9.06 | |
Energy | 3.45 | |
Financials | 14.91 | |
Health Care | 14.43 | |
Industrials | 16.36 | |
Information Technology | 15.16 | |
Materials | 5.40 | |
Real Estate | 2.02 | |
Utilities | 1.82 | |
100.00% |
60 | (Continued) |
Concentration by Currency | Percent of Long-Term Investments | |
Euro | 19.97% | |
Japanese Yen | 15.10 | |
United States Dollar | 14.96 | |
British Pound | 12.14 | |
Swiss Franc | 10.92 | |
Canadian Dollar | 5.26 | |
Other currencies | 21.65 | |
100.00% |
Counterparty | Contract Settlement Date | Contract Amount | Unrealized Appreciation (Depreciation) | |||||
Deliver | Receive | |||||||
Northern Trust | 05/14/2020 | CNY | 39,614,968 | USD | 5,650,143 | $67,341 | ||
Northern Trust | 04/28/2020 | JPY | 19,990,453 | USD | 191,371 | 5,174 | ||
$72,515 | ||||||||
Northern Trust | 04/28/2020 | USD | 195,907 | JPY | 20,995,389 | $(350) | ||
Northern Trust | 05/14/2020 | USD | 514,374 | CNY | 3,605,887 | (6,209) | ||
Northern Trust | 04/28/2020 | JPY | 167,660,704 | USD | 1,534,807 | (26,833) | ||
$(33,392) | ||||||||
$39,123 |
61 | (Continued) |
• | Level 1 – Unadjusted quoted market prices in active markets for identical securities on the measurement date. |
• | Level 2 – Other significant observable inputs including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc. or quoted prices for identical or similar assets in markets that are not active. Inputs that are derived principally from or corroborated by observable market data are also considered Level 2 measurements. An adjustment to any observable input that is significant to the fair value may render the measurement a Level 3 measurement. |
• | Level 3 – Valuations based on unobservable inputs, which may include the Adviser’s own assumptions in determining the fair value of an investment. |
62 | (Continued) |
Level 1 | Level 2 | Level 3 | Total | ||||
Common Stocks | |||||||
Australia | $— | $20,348,942 | $— | $20,348,942 | |||
Austria | — | 1,697,189 | — | 1,697,189 | |||
Belgium | — | 3,976,357 | — | 3,976,357 | |||
Canada | 42,126,781 | 1,306 | — | 42,128,087 | |||
China | 8,018,931 | 7,914,684 | — | 15,933,615 | |||
Czech Republic | — | 558,736 | — | 558,736 | |||
Denmark | — | 13,560,931 | — | 13,560,931 | |||
Finland | — | 2,271,533 | — | 2,271,533 | |||
France | — | 35,691,543 | — | 35,691,543 | |||
Georgia | — | 250,591 | — | 250,591 | |||
Germany | 4,800,007 | 23,825,428 | — | 28,625,435 | |||
Greece | — | 81,947 | — | 81,947 | |||
Hong Kong | — | 13,594,638 | — | 13,594,638 | |||
India | 4,017,195 | 6,160,353 | — | 10,177,548 | |||
Indonesia | — | 870,016 | — | 870,016 | |||
Ireland | 6,588,367 | 9,980,964 | — | 16,569,331 | |||
Isle Of Man | — | 67,244 | — | 67,244 | |||
Israel | 1,910,971 | 1,280,043 | — | 3,191,014 | |||
Italy | 453,646 | 10,454,210 | — | 10,907,856 | |||
Japan | — | 80,713,443 | — | 80,713,443 | |||
Jersey | — | 939,715 | — | 939,715 | |||
Macau | — | 628,882 | — | 628,882 | |||
Malaysia | — | 295,237 | — | 295,237 | |||
Netherlands | 6,315,072 | 15,328,791 | — | 21,643,863 | |||
New Zealand | — | 104,621 | — | 104,621 | |||
Norway | — | 1,685,749 | — | 1,685,749 | |||
Philippines | — | 527,323 | — | 527,323 | |||
Portugal | — | 654,658 | — | 654,658 | |||
Russia | 676,010 | 218,419 | — | 894,429 | |||
Singapore | — | 2,232,747 | — | 2,232,747 | |||
South Africa | — | 621,152 | — | 621,152 | |||
South Korea | — | 13,804,088 | — | 13,804,088 | |||
Spain | — | 7,469,414 | — | 7,469,414 | |||
Sweden | 21,610 | 17,644,056 | — | 17,665,666 | |||
Switzerland | 3,211,311 | 59,930,516 | — | 63,141,827 | |||
Taiwan | 4,571,687 | 4,919,130 | — | 9,490,817 | |||
Turkey | — | 281,031 | — | 281,031 | |||
United Arab Emirates | — | 919,685 | — | 919,685 | |||
United Kingdom | 2,057,694 | 56,392,999 | — | 58,450,693 | |||
United States | 14,953,867 | 199,714 | — | 15,153,581 | |||
All other countries | 9,876,935 | — | — | 9,876,935 | |||
Preferred Stocks | |||||||
Brazil | 3,266,738 | — | — | 3,266,738 | |||
Germany | — | 711,262 | — | 711,262 | |||
South Korea | — | 1,582,932 | — | 1,582,932 | |||
Warrants | 1,119,942 | — | — | 1,119,942 | |||
Short-Term Investments | 19,892,328 | — | — | 19,892,328 | |||
Total | $133,879,092 | $420,392,219 | $— | $554,271,311 |
63 | (Continued) |
Other Financial Instruments | Level 1 | Level 2 | Level 3 | Total | |||
Assets | |||||||
Forward foreign currency exchange contracts | $— | $72,515 | $— | $72,515 | |||
Liabilities | |||||||
Forward foreign currency exchange contracts | — | (33,392) | — | (33,392) | |||
Net Other Financial Instruments | $— | $39,123 | $— | $39,123 |
64 | (Continued) |
65 | (Continued) |