0001752724-23-120423.txt : 20230526 0001752724-23-120423.hdr.sgml : 20230526 20230526113300 ACCESSION NUMBER: 0001752724-23-120423 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230331 FILED AS OF DATE: 20230526 DATE AS OF CHANGE: 20230526 PERIOD START: 20231231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PACIFIC SELECT FUND CENTRAL INDEX KEY: 0000813900 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-05141 FILM NUMBER: 23964937 BUSINESS ADDRESS: STREET 1: 700 NEWPORT CTR DR STREET 2: P O BOX 7500 CITY: NEWPORT BEACH STATE: CA ZIP: 92660 BUSINESS PHONE: 9492193233 MAIL ADDRESS: STREET 1: 700 NEWPORT CTR DR STREET 2: P O BOX 7500 CITY: NEWPORT BEACH STATE: CA ZIP: 92660 0000813900 S000026043 Health Sciences Portfolio C000078112 Class I C000098971 Class P NPORT-P 1 primary_doc.xml NPORT-P false 0000813900 XXXXXXXX S000026043 C000098971 C000078112 PACIFIC SELECT FUND 811-05141 0000813900 549300KH2YJL0X2VEL27 700 NEWPORT CTR DR P O BOX 7500 NEWPORT BEACH 92660 949-219-3233 Health Sciences Portfolio S000026043 549300ZVTAVNBEWMWF07 2023-12-31 2023-03-31 N 405443358.58 1088463.35 404354895.23 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 212.12000000 N Ionis Pharmaceuticals Inc 549300SI4ZGLG0BLUZ92 Ionis Pharmaceuticals Inc 462222100 13405.00000000 NS USD 479094.70000000 0.118483714591 Long EC CORP US N 1 N N N TScan Therapeutics Inc N/A TScan Therapeutics Inc 89854M101 23807.00000000 NS USD 49994.70000000 0.012364064486 Long EC CORP US N 1 N N N 10X Genomics Inc 5493003Z6741WNLG7H43 10X Genomics Inc 88025U109 6807.00000000 NS USD 379762.53000000 0.093918123529 Long EC CORP US N 1 N N N Pliant Therapeutics Inc 5493002Q5LITR7VHZH02 Pliant Therapeutics Inc 729139105 8876.00000000 NS USD 236101.60000000 0.058389697462 Long EC CORP US N 1 N N N Australia & New Zealand Banking Group Ltd. 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5299004CC60O9T5HVM83 Blueprint Medicines Corp 09627Y109 18580.00000000 NS USD 835914.20000000 0.206727854629 Long EC CORP US N 1 N N N GE HealthCare Technologies Inc 549300OI9J7XOWZMUN85 GE HealthCare Technologies Inc 36266G107 47560.00000000 NS USD 3901346.80000000 0.964832340605 Long EC CORP US N 1 N N N Morphic Holding Inc 549300RWWOUFLHTY1224 Morphic Holding Inc 61775R105 4980.00000000 NS USD 187447.20000000 0.046357099224 Long EC CORP US N 1 N N N Prothena Corp PLC 5299009ZXQ8NIIJ8OL30 Prothena Corp PLC 000000000 6265.00000000 NS USD 303664.55000000 0.075098522011 Long EC CORP IE N 1 N N N Nuvalent Inc N/A Nuvalent Inc 670703107 8080.00000000 NS USD 210807.20000000 0.052134202525 Long EC CORP US N 1 N N N Envista Holdings Corp 549300BX623VURJZ5269 Envista Holdings Corp 29415F104 14915.00000000 NS USD 609725.20000000 0.150789617534 Long EC CORP US N 1 N N N Dexcom Inc 549300YSK3QDSFR5EU59 Dexcom Inc 252131107 38066.00000000 NS USD 4422507.88000000 1.093719386650 Long EC CORP US N 1 N N N IVERIC bio Inc 549300GZXI59U71XPM70 IVERIC bio Inc 46583P102 8505.00000000 NS USD 206926.65000000 0.051174513389 Long EC CORP US N 1 N N N Pfizer Inc 765LHXWGK1KXCLTFYQ30 Pfizer Inc 717081103 143946.00000000 NS USD 5872996.80000000 1.452436181503 Long EC CORP US N 1 N N N Sarepta Therapeutics Inc 549300IKDPIED8J8IG21 Sarepta Therapeutics Inc 803607100 13024.00000000 NS USD 1795097.92000000 0.443941186610 Long EC CORP US N 1 N N N Edwards Lifesciences Corp YA13X31F3V31L8TMPR58 Edwards Lifesciences Corp 28176E108 25917.00000000 NS USD 2144113.41000000 0.530255336411 Long EC CORP US N 1 N N N CareMax Inc N/A CareMax Inc 14171W111 3646.00000000 NS USD 1853.63000000 0.000458416609 N/A DE US N 1 N/A N/A Call Purchased CareMax Inc CareMax Inc 1.00000000 11.50000000 USD 2026-06-08 XXXX -7464.34000000 N N N Biomea Fusion Inc N/A Biomea Fusion Inc 09077A106 12099.00000000 NS USD 375189.99000000 0.092787300073 Long EC CORP US N 1 N N N Argenx SE 7245009C5FZE6G9ODQ71 Argenx SE 04016X101 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Biotherapeutics Inc 03969K108 34856.00000000 NS USD 383416.00000000 0.094821654077 Long EC CORP US N 1 N N N Design Therapeutics Inc N/A Design Therapeutics Inc 25056L103 11344.00000000 NS USD 65454.88000000 0.016187483018 Long EC CORP US N 1 N N N Arvinas Inc N/A Arvinas Inc 04335A105 10600.00000000 NS USD 289592.00000000 0.071618274791 Long EC CORP US N 1 N N N Neurocrine Biosciences Inc 549300FECER0XBN49756 Neurocrine Biosciences Inc 64125C109 16210.00000000 NS USD 1640776.20000000 0.405776267174 Long EC CORP US N 1 N N N HCA Healthcare Inc 529900PH4ZGUH2MNEU89 HCA Healthcare Inc 40412C101 10117.00000000 NS USD 2667650.56000000 0.659730002398 Long EC CORP US N 1 N N N Masimo Corp 549300Q4A8JK0PIYCU29 Masimo Corp 574795100 6230.00000000 NS USD 1149684.20000000 0.284325530261 Long EC CORP US N 1 N N N Avantor Inc N/A Avantor Inc 05352A100 58070.00000000 NS USD 1227599.80000000 0.303594642845 Long EC CORP US N 1 N N N McKesson Corp 549300WZWOM80UCFSF54 McKesson Corp 58155Q103 17617.00000000 NS USD 6272532.85000000 1.551244444915 Long EC CORP US N 1 N N N Humana Inc 529900YLDW34GJAO4J06 Humana Inc 444859102 6335.00000000 NS USD 3075389.10000000 0.760566803142 Long EC CORP US N 1 N N N Bausch + Lomb Corp 549300NY6OZM39SO6475 Bausch + Lomb Corp 071705107 57594.00000000 NS USD 1002711.54000000 0.247978088512 Long EC CORP CA N 1 N N N Danaher Corp S4BKK9OTCEWQ3YHPFM11 Danaher Corp 235851102 53805.00000000 NS USD 13561012.20000000 3.353740083271 Long EC CORP US N 1 N N N Regeneron Pharmaceuticals Inc 549300RCBFWIRX3HYQ56 Regeneron Pharmaceuticals Inc 75886F107 12335.00000000 NS USD 10135299.45000000 2.506535612542 Long EC CORP US N 1 N N N CureVac NV 724500BUT8GAG9LMYN56 CureVac NV 000000000 14364.00000000 NS USD 100117.08000000 0.024759705194 Long EC CORP NL N 1 N N N Glaukos Corp 5299004JA1LHE21M6T14 Glaukos Corp 377322102 3530.00000000 NS USD 176853.00000000 0.043737074061 Long EC CORP US N 1 N N N Decibel Therapeutics Inc N/A Decibel Therapeutics Inc 24343R106 20803.00000000 NS USD 62825.06000000 0.015537108797 Long EC CORP US N 1 N N N Rocket Pharmaceuticals Inc 549300R7VV82YUIN4Y93 Rocket Pharmaceuticals Inc 77313F106 12263.00000000 NS USD 210065.19000000 0.051950697883 Long EC CORP US N 1 N N N Mettler-Toledo International Inc 5493000BD5GJNUDIUG10 Mettler-Toledo International Inc 592688105 755.00000000 NS USD 1155308.55000000 0.285716474223 Long EC CORP US N 1 N N N Fixed Income Clearing Corp 549300H47WTHXPU08X20 FIXED INC CLEARING CORP.REPO 000000000 9963521.45000000 PA USD 9963521.45000000 2.464053624065 Long RA CORP US N 2 Repurchase N 4.45000000 2023-04-03 10424700.00000000 USD 10162862.82000000 USD UST N N N Encompass Health Corp 549300FVRPM9DRQZRG64 Encompass Health Corp 29261A100 10847.00000000 NS USD 586822.70000000 0.145125657416 Long EC CORP US N 1 N N N Alkermes PLC N/A Alkermes PLC 000000000 22807.00000000 NS USD 642929.33000000 0.159001248058 Long EC CORP IE N 1 N N N Merck & Co Inc 4YV9Y5M8S0BRK1RP0397 Merck & Co Inc 58933Y105 165487.00000000 NS USD 17606161.93000000 4.354135967609 Long EC CORP US N 1 N N N Cooper Cos Inc/The QJKMVPIGLH7530PCUE20 Cooper Cos Inc/The 216648402 9112.00000000 NS USD 3402056.32000000 0.841354058064 Long EC CORP US N 1 N N N Quest Diagnostics Inc 8MCWUBXQ0WE04KMXBX50 Quest Diagnostics Inc 74834L100 28025.00000000 NS USD 3964977.00000000 0.980568566566 Long EC CORP US N 1 N N N STERIS PLC N/A STERIS PLC 000000000 6715.00000000 NS USD 1284445.20000000 0.317652936851 Long EC CORP IE N 1 N N N West Pharmaceutical Services Inc 5493007NKRGM1RJQ1P16 West Pharmaceutical Services Inc 955306105 10661.00000000 NS USD 3693716.67000000 0.913483851332 Long EC CORP US N 1 N N N PTC Therapeutics Inc 549300UJLWOIWFDGB318 PTC Therapeutics Inc 69366J200 4465.00000000 NS USD 216284.60000000 0.053488804649 Long EC CORP US N 1 N N N Waters Corp 5T547R1474YC9HOD8Q74 Waters Corp 941848103 8635.00000000 NS USD 2673655.05000000 0.661214957835 Long EC CORP US N 1 N N N Eli Lilly & Co FRDRIPF3EKNDJ2CQJL29 Eli Lilly & Co 532457108 67578.00000000 NS USD 23207636.76000000 5.739422728343 Long EC CORP US N 1 N N N Catalent Inc N/A Catalent Inc 148806102 14315.00000000 NS USD 940638.65000000 0.232626997000 Long EC CORP US N 1 N N N IDEXX Laboratories Inc OGMTXK0LUU1HKV2P0J84 IDEXX Laboratories Inc 45168D104 5040.00000000 NS USD 2520403.20000000 0.623314625278 Long EC CORP US N 1 N N N Hologic Inc 549300DYP6F5ZJL0LB74 Hologic Inc 436440101 7745.00000000 NS USD 625021.50000000 0.154572507313 Long EC CORP US N 1 N N N Baxter International Inc J5OIVXX3P24RJRW5CK77 Baxter International Inc 071813109 77158.00000000 NS USD 3129528.48000000 0.773955878095 Long EC CORP US N 1 N N N Bristol-Myers Squibb Co HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Co 110122108 28146.00000000 NS USD 1950799.26000000 0.482447296425 Long EC CORP US N 1 N N N Gilead Sciences Inc 549300WTZWR07K8MNV44 Gilead Sciences Inc 375558103 120569.00000000 NS USD 10003609.93000000 2.473967806006 Long EC CORP US N 1 N N N 2023-04-28 PACIFIC SELECT FUND Trevor Smith Trevor Smith Assistant Vice President XXXX NPORT-EX 2 NPORT_PS2G_99773386_0323.htm FOR VALIDATION PURPOSES ONLY - [353827.TX]

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 50.1%

 

Basic Materials - 1.5%

 

Anglo American Capital PLC (South Africa)
2.625% due 09/10/30 ~

    $7,100,000       $5,911,481  

Braskem Netherlands Finance BV (Brazil)
7.250% due 02/13/33 ~

    600,000       577,050  

Glencore Funding LLC (Australia)
2.625% due 09/23/31 ~

    2,550,000       2,094,697  

South32 Treasury Ltd. (Australia)
4.350% due 04/14/32 ~

    4,100,000       3,659,574  
   

 

 

 
    12,242,802  
   

 

 

 

Communications - 3.1%

   

AT&T, Inc.

   

3.500% due 09/15/53

    2,953,000       2,147,712  

3.850% due 06/01/60

    2,900,000       2,177,140  

Charter Communications Operating LLC/Charter Communications Operating Capital

 

3.500% due 06/01/41

    2,600,000       1,786,477  

3.850% due 04/01/61

    5,200,000       3,248,742  

Cox Communications, Inc.
1.800% due 10/01/30 ~

    2,000,000       1,585,317  

Rogers Communications, Inc. (Canada)
4.550% due 03/15/52 ~

    2,700,000       2,223,220  

T-Mobile USA, Inc.

   

2.250% due 02/15/26

    2,000,000       1,861,922  

2.250% due 11/15/31

    1,000,000       819,364  

3.375% due 04/15/29

    600,000       547,553  

5.050% due 07/15/33

    3,900,000       3,921,203  

Verizon Communications, Inc.

   

1.680% due 10/30/30

    1,200,000       969,205  

3.400% due 03/22/41

    5,800,000       4,616,957  
   

 

 

 
    25,904,812  
   

 

 

 

Consumer, Cyclical - 5.1%

   

American Airlines Pass-Through Trust Class A
2.875% due 01/11/36

    948,859       783,494  

American Airlines Pass-Through Trust Class AA
3.600% due 03/22/29

    2,606,764       2,392,774  

American Airlines Pass-Through Trust Class B
3.950% due 01/11/32

    620,750       546,277  

American Airlines, Inc./AAdvantage Loyalty IP Ltd.
5.750% due 04/20/29 ~

    2,000,000       1,920,602  

British Airways Pass-Through Trust Class A (United Kingdom)

   

3.350% due 12/15/30 ~

    979,614       846,190  

4.625% due 12/20/25 ~

    490,223       484,673  

British Airways Pass-Through Trust Class AA (United Kingdom)
3.300% due 06/15/34 ~

    2,544,537       2,203,432  

Continental Airlines Pass-Through Trust Class A 4.000% due 04/29/26

    1,104,034       1,067,722  

Delta Air Lines Pass-Through Trust Class AA 3.625% due 01/30/29

    269,350       248,799  

Delta Air Lines, Inc./SkyMiles IP Ltd.

   

4.500% due 10/20/25 ~

    3,333,322       3,279,450  

4.750% due 10/20/28 ~

    2,000,000       1,931,696  

Ferguson Finance PLC
4.250% due 04/20/27 ~

    1,150,000       1,107,140  

Ford Motor Credit Co. LLC

   

2.300% due 02/10/25

    2,325,000       2,158,112  

3.375% due 11/13/25

    1,050,000       985,546  
   

Principal
Amount

   

Value

 

4.542% due 08/01/26

    $ 1,550,000       $ 1,471,679  

Genting New York LLC/GENNY Capital, Inc.
3.300% due 02/15/26 ~

    1,900,000       1,710,362  

Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Esc
4.875% due 07/01/31 ~

    3,450,000       2,949,439  

Kohl’s Corp.
3.625% due 05/01/31

    1,750,000       1,182,755  

Lowe’s Cos., Inc.
4.450% due 04/01/62

    1,500,000       1,226,187  

Marriott International, Inc.

   

2.750% due 10/15/33

    2,500,000       2,025,786  

5.000% due 10/15/27

    1,350,000       1,353,817  

Meritage Homes Corp.
3.875% due 04/15/29 ~

    3,375,000       3,000,324  

New Red Finance, Inc. (Canada)
3.875% due 01/15/28 ~

    2,000,000       1,861,940  

Six Flags Entertainment Corp.
4.875% due 07/31/24 ~

    1,500,000       1,478,914  

United Airlines Pass-Through Trust Class A
2.900% due 11/01/29

    351,553       300,421  

United Airlines Pass-Through Trust Class AA
4.150% due 02/25/33

    562,562       506,609  

US Airways Pass-Through Trust Class A
4.625% due 12/03/26

    858,725       812,286  

Warnermedia Holdings, Inc.
5.050% due 03/15/42 ~

    2,750,000       2,302,680  
   

 

 

 
    42,139,106  
   

 

 

 

Consumer, Non-Cyclical - 7.0%

   

AmerisourceBergen Corp.
2.700% due 03/15/31

    5,500,000       4,719,848  

Amgen, Inc.
5.650% due 03/02/53

    1,650,000       1,718,833  

Anheuser-Busch InBev Finance, Inc. (Belgium)
4.000% due 01/17/43

    6,500,000       5,717,587  

Anheuser-Busch InBev Worldwide, Inc. (Belgium)
5.450% due 01/23/39

    2,500,000       2,627,918  

BAT Capital Corp. (United Kingdom)
5.650% due 03/16/52

    1,050,000       923,496  

Block, Inc.
2.750% due 06/01/26

    2,000,000       1,825,980  

Centene Corp.
2.450% due 07/15/28

    1,750,000       1,524,075  

Cigna Group
5.400% due 03/15/33

    4,250,000       4,415,643  

Elevance Health, Inc.
5.500% due 10/15/32

    1,100,000       1,157,889  

General Mills, Inc.
4.950% due 03/29/33

    1,450,000       1,473,255  

Global Payments, Inc.
5.300% due 08/15/29

    2,150,000       2,125,352  

Humana, Inc.
5.500% due 03/15/53

    2,600,000       2,649,881  

Imperial Brands Finance PLC (United Kingdom)
6.125% due 07/27/27 ~

    650,000       667,560  

JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc.
3.000% due 05/15/32 ~

    3,000,000       2,353,020  

Kenvue, Inc.
5.050% due 03/22/53 ~

    1,650,000       1,701,902  

Keurig Dr Pepper, Inc.
4.500% due 04/15/52

    3,250,000       2,896,723  

Kraft Heinz Foods Co.
4.375% due 06/01/46

    3,700,000       3,226,716  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

1

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

UnitedHealth Group, Inc.

   

4.750% due 05/15/52

    $ 3,000,000       $ 2,924,243  

5.050% due 04/15/53

    6,000,000       6,072,817  

Universal Health Services, Inc.

   

2.650% due 10/15/30

    2,000,000       1,605,099  

2.650% due 01/15/32

    3,550,000       2,772,688  

Viatris, Inc.
3.850% due 06/22/40

    4,750,000       3,338,088  
   

 

 

 
    58,438,613  
   

 

 

 

Energy - 3.8%

   

Cheniere Energy Partners LP
4.500% due 10/01/29

    3,000,000       2,789,837  

Enbridge, Inc. (Canada)
7.375% due 01/15/83

    2,450,000       2,348,399  

Energy Transfer LP

   

4.750% due 01/15/26

    3,600,000       3,557,666  

5.000% due 05/15/44

    3,050,000       2,608,204  

5.750% due 02/15/33

    3,700,000       3,793,425  

6.500% due 11/15/26

    1,000,000       882,500  

Enterprise Products Operating LLC
3.300% due 02/15/53

    2,900,000       2,103,226  

MPLX LP

   

4.950% due 03/14/52

    1,000,000       870,996  

5.200% due 12/01/47

    1,600,000       1,424,380  

5.650% due 03/01/53

    4,150,000       3,999,760  

Petroleos Mexicanos (Mexico)
6.350% due 02/12/48

    1,400,000       862,050  

Sabine Pass Liquefaction LLC
5.900% due 09/15/37 ~

    2,700,000       2,764,136  

Targa Resources Partners LP/Targa Resources Partners Finance Corp.
4.000% due 01/15/32

    4,350,000       3,796,049  
   

 

 

 
    31,800,628  
   

 

 

 

Financial - 16.7%

   

ABN AMRO Bank NV (Netherlands)
3.324% due 03/13/37 ~

    1,000,000       768,248  

AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)
3.300% due 01/30/32

    2,000,000       1,658,384  

Air Lease Corp.

   

3.000% due 02/01/30

    2,500,000       2,141,266  

4.650% due 06/15/26

    2,700,000       2,249,002  

Ally Financial, Inc.
6.700% due 02/14/33

    950,000       845,182  

Aon Corp./Aon Global Holdings PLC
5.350% due 02/28/33

    3,250,000       3,369,928  

Assured Guaranty US Holdings, Inc.
3.600% due 09/15/51

    2,150,000       1,495,384  

Avolon Holdings Funding Ltd. (Ireland)
2.750% due 02/21/28 ~

    2,400,000       2,005,209  

Bank of America Corp.

   

2.482% due 09/21/36

    2,500,000       1,900,346  

2.687% due 04/22/32

    2,000,000       1,670,290  

2.972% due 02/04/33

    2,000,000       1,685,522  

4.375% due 01/27/27

    1,500,000       1,278,957  

5.015% due 07/22/33

    3,000,000       2,969,301  

6.125% due 04/27/27

    2,950,000       2,909,438  

BNP Paribas SA (France)
4.625% due 02/25/31 ~

    1,200,000       899,832  

Broadstone Net Lease LLC REIT
2.600% due 09/15/31

    1,000,000       725,872  

Citigroup, Inc.

   

4.150% due 11/15/26

    1,750,000       1,435,000  

4.600% due 03/09/26

    3,000,000       2,940,706  

4.658% due 05/24/28

    2,000,000       1,977,127  

6.270% due 11/17/33

    2,000,000       2,164,718  

Fidelity National Financial, Inc.
3.200% due 09/17/51

    2,000,000       1,255,346  

GLP Capital LP/GLP Financing II, Inc. REIT
3.250% due 01/15/32

    2,600,000       2,111,876  
   

Principal
Amount

   

Value

 

Goldman Sachs Group, Inc.

   

2.615% due 04/22/32

    $ 4,000,000       $ 3,334,459  

3.102% due 02/24/33

    5,200,000       4,469,580  

4.482% due 08/23/28

    4,000,000       3,915,458  

Hill City Funding Trust
4.046% due 08/15/41 ~

    1,200,000       843,087  

Host Hotels & Resorts LP REIT
2.900% due 12/15/31

    3,700,000       2,891,855  

HSBC Holdings PLC (United Kingdom)
4.700% due 03/09/31

    1,450,000       1,081,756  

JPMorgan Chase & Co.

   

2.963% due 01/25/33

    8,450,000       7,232,143  

4.851% due 07/25/28

    4,000,000       3,996,188  

4.912% due 07/25/33

    5,150,000       5,123,378  

5.717% due 09/14/33

    5,850,000       5,997,353  

Liberty Mutual Group, Inc.
4.300% due 02/01/61 ~

    2,650,000       1,578,571  

LSEGA Financing PLC (United Kingdom)
3.200% due 04/06/41 ~

    1,800,000       1,376,253  

Massachusetts Mutual Life Insurance Co.
5.672% due 12/01/52 ~

    4,050,000       4,141,375  

Metropolitan Life Global Funding I
5.150% due 03/28/33 ~

    900,000       908,151  

Morgan Stanley

   

2.475% due 01/21/28

    2,200,000       2,011,551  

2.484% due 09/16/36

    9,100,000       6,919,170  

2.943% due 01/21/33

    3,000,000       2,543,856  

5.123% due 02/01/29

    2,000,000       2,017,447  

6.342% due 10/18/33

    2,000,000       2,186,134  

New York Life Global Funding
4.700% due 04/02/26 ~

    1,500,000       1,502,194  

Northwestern Mutual Life Insurance Co.
3.625% due 09/30/59 ~

    3,500,000       2,581,443  

OneMain Finance Corp.

   

5.375% due 11/15/29

    1,750,000       1,474,025  

6.125% due 03/15/24

    2,100,000       2,047,689  

Piedmont Operating Partnership LP REIT
4.450% due 03/15/24

    2,000,000       1,891,392  

PNC Financial Services Group, Inc.
6.250% due 03/15/30

    1,200,000       1,119,000  

Principal Financial Group, Inc.
5.375% due 03/15/33

    2,550,000       2,554,147  

Prudential Financial, Inc.
6.750% due 03/01/53

    3,600,000       3,508,272  

Sun Communities Operating LP
5.700% due 01/15/33

    2,850,000       2,855,470  

Teachers Insurance & Annuity Association of America
4.270% due 05/15/47 ~

    2,000,000       1,690,076  

U.S. Bancorp
4.839% due 02/01/34

    3,000,000       2,912,714  

UBS Group AG (Switzerland)
4.875% due 02/12/27 ~

    1,000,000       781,370  

VICI Properties LP/VICI Note Co., Inc. REIT

   

3.750% due 02/15/27 ~

    1,500,000       1,386,098  

4.625% due 12/01/29 ~

    7,750,000       7,062,068  

Wells Fargo & Co.

   

4.400% due 06/14/46

    2,200,000       1,819,120  

4.897% due 07/25/33

    1,000,000       976,708  
   

 

 

 
    139,186,485  
   

 

 

 

Industrial - 3.5%

   

Allegion US Holding Co., Inc.
3.550% due 10/01/27

    4,289,000       4,009,532  

Amcor Flexibles North America, Inc.
2.690% due 05/25/31

    2,000,000       1,665,389  

Berry Global, Inc.
4.875% due 07/15/26 ~

    2,000,000       1,951,420  

Flowserve Corp.
2.800% due 01/15/32

    5,300,000       4,209,355  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

2

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Masco Corp.
7.750% due 08/01/29

    $ 950,000       $ 1,064,946  

nVent Finance SARL (United Kingdom)
2.750% due 11/15/31

    4,100,000       3,330,173  

Raytheon Technologies Corp.

   

5.150% due 02/27/33

    2,500,000       2,603,199  

5.375% due 02/27/53

    1,350,000       1,422,877  

Republic Services, Inc.
5.000% due 04/01/34

    1,700,000       1,733,105  

TransDigm, Inc.
6.250% due 03/15/26 ~

    4,271,000       4,279,222  

Weir Group PLC (United Kingdom)
2.200% due 05/13/26 ~

    3,650,000       3,290,660  
   

 

 

 
    29,559,878  
   

 

 

 

Technology - 3.2%

   

Broadcom, Inc.
3.137% due 11/15/35 ~

    5,500,000       4,234,106  

Fiserv, Inc.
5.600% due 03/02/33

    4,050,000       4,202,597  

Intel Corp.
5.700% due 02/10/53

    2,500,000       2,554,340  

Kyndryl Holdings, Inc.

   

2.050% due 10/15/26

    2,500,000       2,174,090  

3.150% due 10/15/31

    3,000,000       2,296,336  

NXP BV/NXP Funding LLC/NXP USA, Inc. (China)
3.875% due 06/18/26

    5,000,000       4,831,482  

Oracle Corp.

   

2.875% due 03/25/31

    2,000,000       1,712,424  

3.950% due 03/25/51

    4,500,000       3,392,830  

6.150% due 11/09/29

    850,000       905,760  

Skyworks Solutions, Inc.
3.000% due 06/01/31

    600,000       499,626  
   

 

 

 
    26,803,591  
   

 

 

 

Utilities - 6.2%

   

American Electric Power Co., Inc.
5.625% due 03/01/33

    1,750,000       1,811,687  

Appalachian Power Co.
4.500% due 08/01/32

    1,650,000       1,585,169  

Arizona Public Service Co.
6.350% due 12/15/32

    3,200,000       3,479,644  

Brooklyn Union Gas Co.
4.632% due 08/05/27 ~

    2,175,000       2,113,302  

Dominion Energy, Inc.
4.350% due 01/15/27

    1,550,000       1,289,990  

DPL, Inc.

   

4.125% due 07/01/25

    1,500,000       1,434,563  

4.350% due 04/15/29

    1,125,000       999,945  

Duke Energy Ohio, Inc.
5.650% due 04/01/53

    1,000,000       1,049,984  

Duke Energy Progress LLC
5.250% due 03/15/33

    1,900,000       1,976,121  

Duke Energy Progress NC Storm Funding LLC
2.387% due 07/01/39

    2,650,000       2,195,758  

Edison International
8.125% due 06/15/53

    5,000,000       5,075,000  

Eversource Energy
5.450% due 03/01/28

    1,000,000       1,037,006  

FirstEnergy Corp.
4.150% due 07/15/27

    2,500,000       2,384,213  

IPALCO Enterprises, Inc.
4.250% due 05/01/30

    3,000,000       2,764,045  

Kentucky Utilities Co.
5.450% due 04/15/33

    1,750,000       1,821,102  

KeySpan Gas East Corp.
3.586% due 01/18/52 ~

    1,500,000       1,088,174  

Louisville Gas & Electric Co.
5.450% due 04/15/33

    2,200,000       2,287,764  
   

Principal
Amount

   

Value

 

Nevada Power Co.
5.900% due 05/01/53

    $ 2,650,000       $ 2,946,197  

NextEra Energy Operating Partners LP
4.250% due 07/15/24 ~

    3,350,000       3,311,039  

NSTAR Electric Co.

   

4.550% due 06/01/52

    2,050,000       1,913,866  

4.950% due 09/15/52

    1,650,000       1,629,898  

PG&E Energy Recovery Funding LLC
2.280% due 01/15/38

    1,200,000       957,675  

PG&E Wildfire Recovery Funding LLC
3.594% due 06/01/32

    938,169       896,580  

Piedmont Natural Gas Co., Inc.
5.050% due 05/15/52

    1,000,000       930,480  

Sempra Energy
4.125% (UST + 2.868%)
due 04/01/52

    2,350,000       1,900,022  

Southwestern Electric Power Co.
3.250% due 11/01/51

    1,900,000       1,325,772  

Texas Electric Market Stabilization Funding N LLC
4.265% due 08/01/36 ~

    1,024,087       992,904  

Virginia Electric & Power Co.
5.000% due 04/01/33

    350,000       352,871  
   

 

 

 
    51,550,771  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $448,239,479)

 

    417,626,686  
   

 

 

 

SENIOR LOAN NOTES - 11.0%

   

Consumer, Cyclical - 2.8%

   

Carnival Corp.

   

Term B

7.840% (USD LIBOR + 3.000%)

due 06/30/25 §

    997,436       986,464  

8.090% (USD LIBOR + 3.250%)

due 10/18/28 §

    370,313       362,675  

ClubCorp Holdings, Inc. Term B
7.590% (USD LIBOR + 2.750%)
due 09/18/24 §

    3,385,831       3,245,109  

Marriott Ownership Resorts, Inc. Term B
6.590% (USD LIBOR + 1.750%)
due 08/29/25 §

    3,231,949       3,213,770  

Mileage Plus Holdings LLC Term B
10.213% (USD LIBOR + 5.250%)
due 06/21/27 §

    1,850,000       1,923,872  

SeaWorld Parks & Entertainment, Inc. Term B
7.875% (USD LIBOR + 3.000%)
due 08/25/28 §

    6,932,405       6,915,074  

Stars Group Holdings BV Term B (Canada)
7.409% (USD LIBOR + 2.250%)
due 07/21/26 §

    3,512,840       3,515,036  

United Airlines, Inc. Term B
8.568% (USD LIBOR + 3.750%)
due 04/21/28 §

    3,121,415       3,109,061  
   

 

 

 
    23,271,061  
   

 

 

 

Consumer, Non-Cyclical - 3.1%

   

Allied Universal Holdco LLC Term B
8.657% (SOFR + 3.750%)
due 05/12/28 §

    1,231,250       1,170,457  

CoreLogic, Inc. Term B
8.375% (USD LIBOR + 3.500%)
due 06/02/28 §

    2,708,750       2,317,674  

Heartland Dental LLC Term B
8.840% (USD LIBOR + 4.000%)
due 04/30/25 §

    1,228,125       1,161,601  

Mavis Tire Express Services Corp. Term B
8.922% (SOFR + 4.000%)
due 05/04/28 §

    4,349,962       4,275,877  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

3

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Medline Borrower LP Term B
8.090% (USD LIBOR + 3.250%)
due 10/23/28 §

    $ 1,739,981       $ 1,698,537  

Pathway Vet Alliance LLC Term B
8.590% (USD LIBOR + 3.750%)
due 03/31/27 §

    6,400,325       5,638,002  

PetVet Care Centers LLC Term B3
8.340% (USD LIBOR + 3.500%)
due 02/14/25 §

    4,519,250       4,392,146  

Sunshine Luxembourg VII SARL Term B3 (Luxembourg)
8.909% (USD LIBOR + 3.750%)
due 10/01/26 §

    2,708,933       2,686,438  

Verscend Holding Corp. Term B
8.840% (USD LIBOR + 4.000%)
due 08/27/25 §

    2,493,655       2,494,590  
   

 

 

 
    25,835,322  
   

 

 

 

Financial - 2.0%

   

AssuredPartners, Inc. Term B
8.340% (USD LIBOR + 3.500%)
due 02/12/27 §

    2,705,509       2,683,246  

HUB International Ltd. Term B
7.818% (USD LIBOR + 3.000%)
due 04/25/25 §

    5,377,667       5,368,804  

NFP Corp. Term B
8.090% (USD LIBOR + 3.250%)
due 02/15/27 §

    1,515,782       1,481,992  

USI, Inc. Term B
8.648% (SOFR + 3.750%)
due 11/22/29 §

    7,778,746       7,769,022  
   

 

 

 
    17,303,064  
   

 

 

 

Industrial - 1.4%

   

Filtration Group Corp. Term B
7.840% (USD LIBOR + 3.000%)
due 03/29/25 §

    6,288,834       6,280,973  

Proampac PG Borrower LLC Term B
7.829% (USD LIBOR + 3.750%)
due 11/03/25 §

    2,467,581       2,424,398  

TransDigm, Inc. Term I
7.825% (SOFR + 3.250%)
due 08/24/28 §

    2,767,022       2,763,372  
   

 

 

 
    11,468,743  
   

 

 

 

Technology - 1.7%

   

CDK Global, Inc. Term B
9.148% (SOFR + 4.250%)
due 07/06/29 §

    997,500       996,342  

Epicor Software Corp. Term C
8.090% (USD LIBOR + 3.250%)
due 07/30/27 §

    5,440,709       5,357,967  

Sophia LP Term B
8.659% (USD LIBOR + 3.500%)
due 10/07/27 §

    1,706,003       1,685,105  

Ultimate Software Group, Inc.
8.271% (USD LIBOR + 3.250%)
due 05/04/26 §

    6,174,666       6,024,708  
   

 

 

 
    14,064,122  
   

 

 

 

Total Senior Loan Notes
(Cost $92,644,650)

 

    91,942,312  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 1.0%

 

Fannie Mae - 1.0%

   

due 04/17/38 #

    4,500,000       4,572,846  
   

Principal
Amount

   

Value

 

due 04/01/53 #

    $ 3,500,000       $ 3,609,102  
   

 

 

 
    8,181,948  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $8,118,086)

 

    8,181,948  
   

 

 

 

ASSET-BACKED SECURITIES - 14.8%

 

 

AIMCO CLO 11 Ltd. (Cayman)
5.922% (USD LIBOR + 1.130%)
due 10/17/34 § ~

    1,500,000       1,460,502  

Ally Auto Receivables Trust
5.070% due 04/15/27

    3,000,000       3,012,314  

AmeriCredit Automobile Receivables Trust

   

0.760% due 12/18/25

    2,400,000       2,312,448  

0.890% due 10/19/26

    1,050,000       979,267  

1.410% due 08/18/27

    1,500,000       1,363,413  

Buttermilk Park CLO Ltd. (Cayman)
5.892% (USD LIBOR + 1.100%)
due 10/15/31 § ~

    1,200,000       1,182,424  

Carlyle Global Market Strategies CLO Ltd.
6.549% (USD LIBOR+1.680%)
due 08/14/30 ~

    2,000,000       1,970,250  

CIFC Funding Ltd. (Cayman)

   

5.668% (USD LIBOR + 0.870%)

due 04/19/29 § ~

    2,312,296       2,278,581  

5.895% (USD LIBOR + 1.100%)

due 07/18/31 § ~

    3,630,000       3,584,625  

Dryden 55 CLO Ltd. (Cayman)
6.692% (USD LIBOR + 1.900%)
due 04/15/31 § ~

    1,000,000       943,108  

Dryden 58 CLO Ltd. (Cayman)

   

6.292% (USD LIBOR + 1.500%)

due 07/17/31 § ~

    1,000,000       963,950  

6.592% (USD LIBOR + 1.800%)

due 07/17/31 § ~

    1,000,000       943,019  

Dryden 61 CLO Ltd. (Cayman)
5.782% (USD LIBOR + 0.990%)
due 01/17/32 § ~

    2,250,000       2,212,042  

Dryden 64 CLO Ltd. (Cayman)
6.195% (USD LIBOR + 1.400%)
due 04/18/31 § ~

    800,000       770,918  

Ford Credit Auto Owner Trust

   

0.790% due 11/15/25

    2,420,000       2,337,637  

1.290% due 06/15/26

    500,000       478,995  

2.040% due 12/15/26

    500,000       482,352  

3.190% due 07/15/31 ~

    3,000,000       2,912,015  

3.880% due 11/15/34 ~

    2,650,000       2,569,356  

5.140% due 03/15/26

    2,550,000       2,550,798  

5.270% due 05/17/27

    2,000,000       2,023,738  

Hilton Grand Vacations Trust
3.610% due 06/20/34 ~

    247,316       236,418  

Honda Auto Receivables Owner Trust
0.600% due 12/20/27

    1,580,000       1,463,843  

Madison Park Funding XXVIII Ltd. (Cayman)
6.392% (USD LIBOR + 1.600%)
due 07/15/30 § ~

    1,400,000       1,360,205  

Magnetite XII Ltd. (Cayman)
5.892% (USD LIBOR + 1.100%)
due 10/15/31 § ~

    4,775,000       4,720,443  

Magnetite XIV-R Ltd. (Cayman)
5.915% (USD LIBOR + 1.120%)
due 10/18/31 § ~

    2,500,000       2,467,964  

Magnetite XIX Ltd. (Cayman)
5.842% (USD LIBOR+1.050%)
due 04/17/34 ~

    4,500,000       4,377,809  

Magnetite XXI Ltd. (Cayman)
5.828% (USD LIBOR + 1.020%)
due 04/20/34 § ~

    5,000,000       4,859,061  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

4

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Magnetite XXII Ltd. (Cayman)
6.392% (USD LIBOR+1.160%)
due 04/15/31

    $ 1,500,000       $ 1,460,625  

Magnetite XXIX Ltd. (Cayman)
5.782% (USD LIBOR + 0.990%)
due 01/15/34 § ~

    1,300,000       1,278,918  

Mercedes-Benz Auto Receivables Trust
5.260% due 10/15/25

    500,000       499,733  

MVW LLC
1.740% due 10/20/37 ~

    141,109       129,564  

Navient Private Education Refi Loan Trust

   

0.840% due 05/15/69 ~

    307,341       268,991  

0.940% due 07/15/69 ~

    4,495,966       3,930,267  

1.220% due 07/15/69 ~

    690,204       617,347  

1.310% due 01/15/69 ~

    507,034       465,511  

1.690% due 05/15/69 ~

    2,336,505       2,104,923  

2.460% due 11/15/68 ~

    359,456       335,783  

2.640% due 05/15/68 ~

    411,789       388,608  

Navient Student Loan Trust

   

1.310% due 12/26/69 ~

    1,193,927       1,017,845  

1.320% due 08/26/69 ~

    968,898       825,179  

3.390% due 12/15/59 ~

    1,719,354       1,640,231  

5.445% (USD LIBOR + 0.600%)

due 12/26/69 § ~

    717,073       689,595  

5.895% (USD LIBOR + 1.050%)

due 06/25/69 § ~

    703,675       695,650  

Neuberger Berman Loan Advisers CLO 25 Ltd. (Cayman)
6.145% (USD LIBOR + 1.350%)
due 10/18/29 § ~

    1,500,000       1,449,885  

Neuberger Berman Loan Advisers CLO 31 Ltd. (Cayman)
5.848% (USD LIBOR + 1.040%)
due 04/20/31 § ~

    1,000,000       987,370  

OneMain Financial Issuance Trust
4.130% due 05/14/35 ~

    1,350,000       1,305,811  

Palmer Square CLO Ltd. (Cayman)

   

5.892% (USD LIBOR + 1.100%)

due 07/16/31 § ~

    1,000,000       990,480  

5.944% (USD LIBOR + 1.080%)

due 11/15/31 § ~

    4,000,000       3,951,242  

Palmer Square Loan Funding Ltd. (Cayman)

   

5.608% (USD LIBOR + 0.800%)

due 07/20/29 § ~

    2,145,813       2,119,528  

5.708% (USD LIBOR + 0.900%)

due 04/20/29 § ~

    1,337,798       1,331,134  

6.165% (USD LIBOR + 1.250%)

due 05/20/29 § ~

    4,000,000       3,915,497  

6.192% (USD LIBOR + 1.400%)

due 10/15/29 § ~

    4,800,000       4,706,408  

6.208% (USD LIBOR + 1.400%)

due 07/20/29 § ~

    2,500,000       2,453,224  

6.575% (USD LIBOR + 1.900%)

due 02/20/28 § ~

    600,000       582,172  

Santander Drive Auto Receivables Trust

   

0.750% due 02/17/26

    1,032,525       1,018,413  

4.420% due 11/15/27

    1,700,000       1,674,915  

SLM Student Loan Trust
5.368% (USD LIBOR + 0.550%)
due 10/25/64 § ~

    530,224       518,145  

SMB Private Education Loan Trust

   

1.070% due 01/15/53 ~

    1,669,724       1,439,013  

1.290% due 07/15/53 ~

    712,633       638,860  

1.680% due 02/15/51 ~

    1,010,773       919,472  

2.230% due 09/15/37 ~

    2,266,995       2,095,130  

2.340% due 09/15/34 ~

    201,244       193,702  

2.700% due 05/15/31 ~

    239,204       232,697  

2.820% due 10/15/35 ~

    717,020       685,876  

2.880% due 09/15/34 ~

    1,524,842       1,459,151  

3.440% due 07/15/36 ~

    934,214       893,237  

3.500% due 02/15/36 ~

    561,018       533,849  

3.600% due 01/15/37 ~

    626,060       604,152  
   

Principal
Amount

   

Value

 

3.630% due 11/15/35 ~

    $ 505,570       $ 484,224  

4.480% due 05/16/50 ~

    1,372,967       1,331,190  

5.414% (USD LIBOR + 0.730%)

due 01/15/53 § ~

    4,061,425       3,915,072  

SoFi Professional Loan Program Trust
2.540% due 05/15/46 ~

    708,494       661,132  

Stratus CLO Ltd. (Cayman)
6.208% (USD LIBOR + 1.400%)
due 12/29/29 § ~

    4,000,000       3,899,016  

Tiaa CLO III Ltd. (Cayman)
5.942% (USD LIBOR + 1.150%)
due 01/16/31 § ~

    1,834,000       1,812,939  

Toyota Auto Receivables Owner Trust
0.430% due 01/15/26

    1,125,000       1,077,889  
   

 

 

 

Total Asset-Backed Securities
(Cost $126,331,288)

 

    123,047,090  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 18.2%

   

U.S. Treasury Bonds - 9.9%

   

1.125% due 05/15/40

    6,000,000       3,997,735  

1.250% due 05/15/50

    3,750,000       2,182,324  

1.375% due 08/15/50

    2,750,000       1,653,115  

1.750% due 08/15/41

    5,500,000       3,986,641  

1.875% due 11/15/51

    3,350,000       2,282,646  

2.000% due 02/15/50

    1,750,000       1,241,406  

2.000% due 08/15/51

    2,500,000       1,759,619  

2.250% due 08/15/46

    1,950,000       1,473,164  

2.250% due 02/15/52

    7,500,000       5,596,582  

2.500% due 02/15/46

    6,500,000       5,168,008  

2.750% due 11/15/47

    3,500,000       2,914,365  

2.875% due 05/15/52

    3,250,000       2,781,607  

3.000% due 08/15/52

    10,000,000       8,787,500  

3.625% due 02/15/53

    23,000,000       22,840,078  

3.875% due 02/15/43

    15,000,000       15,137,109  

4.000% due 11/15/42

    500,000       513,750  
   

 

 

 
    82,315,649  
   

 

 

 

U.S. Treasury Notes - 8.3%

   

0.625% due 05/15/30

    8,500,000       6,961,035  

1.125% due 02/15/31

    1,000,000       842,403  

1.875% due 02/28/29

    21,000,000       19,084,160  

2.125% due 03/31/24

    2,000,000       1,951,969  

2.750% due 08/15/32

    9,000,000       8,471,953  

3.500% due 02/15/33

    15,000,000       15,024,609  

4.000% due 02/29/28

    17,000,000       17,308,789  
   

 

 

 
    69,644,918  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $162,460,672)

 

    151,960,567  
   

 

 

 

SHORT-TERM INVESTMENT - 9.6%

   

Repurchase Agreement - 9.6%

   

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $80,103,866; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $81,675,698)

    80,074,172       80,074,172  
   

 

 

 

Total Short-Term Investment
(Cost $80,074,172)

 

    80,074,172  
   

 

 

 

TOTAL INVESTMENTS - 104.7%
(Cost $917,868,347)

 

    872,832,775  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (4.7%)

 

    (38,789,557
   

 

 

 

NET ASSETS - 100.0%

 

    $834,043,218  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

5

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $417,626,686        $-        $417,626,686        $-  
 

Senior Loan Notes

     91,942,312        -        91,942,312        -  
 

Mortgage-Backed Securities

     8,181,948        -        8,181,948        -  
 

Asset-Backed Securities

     123,047,090        -        123,047,090        -  
 

U.S. Treasury Obligations

     151,960,567        -        151,960,567        -  
 

Short-Term Investment

     80,074,172        -        80,074,172        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $872,832,775        $-        $872,832,775        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

6

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 39.7%

 

Basic Materials - 1.4%

   

Anglo American Capital PLC (South Africa)

   

3.625% due 09/11/24 ~

    $500,000       $488,240  

4.000% due 09/11/27 ~

    1,080,000       1,027,172  

4.750% due 04/10/27 ~

    750,000       734,824  

ArcelorMittal SA (Luxembourg)
7.000% due 10/15/39

    630,000       663,152  

Barrick North America Finance LLC (Canada)

   

5.700% due 05/30/41

    823,000       865,190  

5.750% due 05/01/43

    550,000       580,140  

BHP Billiton Finance USA Ltd. (Australia) 5.000% due 09/30/43

    720,000       730,045  

Equate Petrochemical BV (Kuwait)
4.250% due 11/03/26 ~

    1,260,000       1,225,288  

Freeport-McMoRan, Inc.

   

4.550% due 11/14/24

    120,000       119,447  

4.625% due 08/01/30

    500,000       472,864  

5.450% due 03/15/43

    2,310,000       2,163,351  

Glencore Funding LLC (Australia)

   

4.000% due 03/27/27 ~

    1,730,000       1,668,148  

4.125% due 05/30/23 ~

    130,000       129,538  

4.125% due 03/12/24 ~

    1,070,000       1,058,846  

4.625% due 04/29/24 ~

    2,000,000       1,978,393  

OCP SA (Morocco)

   

3.750% due 06/23/31 ~

    970,000       797,195  

4.500% due 10/22/25 ~

    1,170,000       1,137,568  

5.125% due 06/23/51 ~

    950,000       694,528  

Orbia Advance Corp. SAB de CV (Mexico)

   

1.875% due 05/11/26 ~

    2,050,000       1,827,838  

2.875% due 05/11/31 ~

    2,140,000       1,720,260  

Southern Copper Corp. (Mexico)
5.250% due 11/08/42

    2,340,000       2,241,949  

Suzano Austria GmbH (Brazil)

   

3.125% due 01/15/32

    1,560,000       1,277,667  

3.750% due 01/15/31

    2,420,000       2,107,874  

Teck Resources Ltd. (Canada)
6.000% due 08/15/40

    90,000       91,120  

Vale Overseas Ltd. (Brazil)
6.875% due 11/21/36

    993,000       1,038,917  

Yamana Gold, Inc. (Canada)
4.625% due 12/15/27

    1,810,000       1,731,475  
   

 

 

 
      28,571,029  
   

 

 

 

Communications - 5.1%

   

Alphabet, Inc.

   

1.100% due 08/15/30

    690,000       565,139  

1.900% due 08/15/40

    960,000       673,734  

2.050% due 08/15/50

    230,000       146,424  

Altice France SA (France)
5.500% due 10/15/29 ~

    450,000       344,500  

Amazon.com, Inc.

   

0.800% due 06/03/25

    720,000       670,180  

1.200% due 06/03/27

    1,720,000       1,527,611  

1.500% due 06/03/30

    1,310,000       1,089,643  

2.100% due 05/12/31

    1,120,000       957,837  

2.500% due 06/03/50

    690,000       468,270  

3.150% due 08/22/27

    1,070,000       1,031,339  

3.300% due 04/13/27

    530,000       513,189  

3.450% due 04/13/29

    1,130,000       1,087,822  

3.600% due 04/13/32

    830,000       788,950  

3.875% due 08/22/37

    800,000       745,176  

4.050% due 08/22/47

    1,720,000       1,562,664  

4.250% due 08/22/57

    390,000       355,819  

4.950% due 12/05/44

    190,000       196,036  

AT&T, Inc.

   

1.650% due 02/01/28

    1,430,000       1,256,810  
   

Principal
Amount

   

Value

 

2.250% due 02/01/32

    $ 250,000       $ 204,488  

2.300% due 06/01/27

    1,990,000       1,824,278  

2.550% due 12/01/33

    510,000       410,505  

3.500% due 09/15/53

    730,000       530,928  

3.550% due 09/15/55

    2,244,000       1,613,603  

3.650% due 09/15/59

    550,000       393,724  

3.800% due 12/01/57

    180,000       133,939  

4.350% due 03/01/29

    900,000       881,579  

4.350% due 06/15/45

    744,000       638,224  

5.350% due 09/01/40

    490,000       486,490  

5.550% due 08/15/41

    550,000       559,550  

Charter Communications Operating LLC/Charter Communications Operating Capital

 

3.500% due 03/01/42

    370,000       250,302  

4.200% due 03/15/28

    2,020,000       1,913,032  

4.400% due 04/01/33

    380,000       337,523  

4.800% due 03/01/50

    230,000       175,533  

4.908% due 07/23/25

    1,970,000       1,951,135  

5.125% due 07/01/49

    330,000       261,553  

5.375% due 04/01/38

    1,590,000       1,387,679  

5.375% due 05/01/47

    200,000       165,207  

5.750% due 04/01/48

    240,000       207,363  

6.384% due 10/23/35

    270,000       269,223  

6.484% due 10/23/45

    650,000       616,510  

6.834% due 10/23/55

    370,000       360,020  

Comcast Corp.

   

2.800% due 01/15/51

    620,000       419,392  

2.937% due 11/01/56

    254,000       169,371  

3.150% due 03/01/26

    490,000       475,416  

3.250% due 11/01/39

    190,000       154,383  

3.300% due 04/01/27

    1,510,000       1,452,296  

3.400% due 04/01/30

    1,000,000       935,465  

3.400% due 07/15/46

    170,000       132,064  

3.450% due 02/01/50

    240,000       185,695  

3.750% due 04/01/40

    260,000       223,540  

3.950% due 10/15/25

    1,560,000       1,543,121  

3.969% due 11/01/47

    4,290,000       3,613,354  

3.999% due 11/01/49

    240,000       201,896  

4.000% due 08/15/47

    340,000       288,832  

4.000% due 03/01/48

    270,000       228,922  

4.150% due 10/15/28

    2,240,000       2,216,964  

4.250% due 10/15/30

    1,630,000       1,598,000  

4.950% due 10/15/58

    140,000       135,777  

5.650% due 06/15/35

    290,000       311,559  

6.500% due 11/15/35

    307,000       353,477  

CSC Holdings LLC

   

3.375% due 02/15/31 ~

    330,000       228,591  

4.125% due 12/01/30 ~

    5,860,000       4,213,897  

4.500% due 11/15/31 ~

    3,060,000       2,209,228  

DISH DBS Corp.

   

5.125% due 06/01/29

    1,120,000       597,610  

5.250% due 12/01/26 ~

    690,000       551,841  

5.875% due 11/15/24

    1,361,000       1,215,101  

7.750% due 07/01/26

    690,000       456,114  

FOX Corp.
5.476% due 01/25/39

    1,010,000       968,274  

Prosus NV (China)

   

3.061% due 07/13/31 ~

    4,880,000       3,848,509  

3.832% due 02/08/51 ~

    450,000       289,324  

4.027% due 08/03/50 ~

    2,450,000       1,613,292  

Sprint Capital Corp.
8.750% due 03/15/32

    1,420,000       1,730,355  

Sprint LLC

   

7.625% due 02/15/25

    910,000       944,458  

7.875% due 09/15/23

    40,000       40,332  

T-Mobile USA, Inc.

   

2.250% due 02/15/26

    410,000       381,694  

2.550% due 02/15/31

    2,510,000       2,128,523  

2.625% due 02/15/29

    1,290,000       1,137,794  

2.875% due 02/15/31

    950,000       820,523  

3.000% due 02/15/41

    330,000       244,923  

3.375% due 04/15/29

    480,000       438,042  

3.500% due 04/15/25

    3,080,000       2,995,556  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

7

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

3.500% due 04/15/31

    $ 2,920,000       $ 2,628,507  

3.750% due 04/15/27

    330,000       317,431  

3.875% due 04/15/30

    2,600,000       2,441,665  

Telefonica Emisiones SA (Spain)
5.520% due 03/01/49

    1,050,000       950,884  

Tencent Holdings Ltd. (China)
3.840% due 04/22/51 ~

    910,000       662,558  

Time Warner Cable Enterprises LLC
8.375% due 07/15/33

    990,000       1,128,263  

Time Warner Cable LLC

   

5.500% due 09/01/41

    250,000       216,255  

6.550% due 05/01/37

    520,000       513,062  

6.750% due 06/15/39

    1,310,000       1,291,632  

7.300% due 07/01/38

    2,580,000       2,679,788  

Verizon Communications, Inc.

   

1.750% due 01/20/31

    1,620,000       1,307,386  

2.100% due 03/22/28

    970,000       864,460  

2.355% due 03/15/32

    1,522,000       1,249,379  

2.550% due 03/21/31

    1,050,000       894,938  

2.625% due 08/15/26

    1,970,000       1,863,391  

2.650% due 11/20/40

    1,400,000       1,000,737  

2.875% due 11/20/50

    2,740,000       1,825,218  

3.150% due 03/22/30

    860,000       783,847  

3.850% due 11/01/42

    960,000       803,887  

4.000% due 03/22/50

    610,000       508,592  

4.125% due 03/16/27

    286,000       283,660  

4.125% due 08/15/46

    980,000       838,543  

4.329% due 09/21/28

    715,000       707,147  

4.400% due 11/01/34

    1,750,000       1,664,325  

4.500% due 08/10/33

    5,540,000       5,355,864  

4.862% due 08/21/46

    630,000       600,387  

5.500% due 03/16/47

    250,000       252,758  
   

 

 

 
      104,881,600  
   

 

 

 

Consumer, Cyclical - 3.8%

   

Costco Wholesale Corp.

   

1.375% due 06/20/27

    1,480,000       1,327,786  

1.600% due 04/20/30

    1,160,000       985,398  

Delta Air Lines, Inc./SkyMiles IP Ltd.

   

4.500% due 10/20/25 ~

    1,649,990       1,623,323  

4.750% due 10/20/28 ~

    1,650,000       1,593,649  

Ford Motor Co.

   

4.750% due 01/15/43

    300,000       230,466  

6.100% due 08/19/32

    1,000,000       970,461  

Ford Motor Credit Co. LLC

   

2.900% due 02/16/28

    650,000       559,637  

3.625% due 06/17/31

    1,770,000       1,460,843  

3.664% due 09/08/24

    270,000       259,456  

4.000% due 11/13/30

    4,360,000       3,710,827  

4.125% due 08/17/27

    1,590,000       1,458,992  

5.113% due 05/03/29

    300,000       282,062  

5.125% due 06/16/25

    760,000       744,986  

7.350% due 11/04/27

    1,390,000       1,435,189  

7.350% due 03/06/30

    480,000       493,680  

General Motors Co.

   

5.150% due 04/01/38

    440,000       397,292  

5.600% due 10/15/32

    590,000       578,265  

5.950% due 04/01/49

    660,000       613,797  

6.125% due 10/01/25

    140,000       142,730  

6.250% due 10/02/43

    570,000       548,716  

General Motors Financial Co., Inc.

   

4.250% due 05/15/23

    1,250,000       1,247,803  

4.350% due 01/17/27

    520,000       504,309  

H&E Equipment Services, Inc.
3.875% due 12/15/28 ~

    270,000       236,925  

Home Depot, Inc.

   

2.500% due 04/15/27

    730,000       685,585  

2.700% due 04/15/30

    860,000       776,860  

3.300% due 04/15/40

    480,000       399,539  

3.350% due 04/15/50

    1,490,000       1,154,969  

3.900% due 12/06/28

    190,000       187,268  
   

Principal
Amount

   

Value

 

3.900% due 06/15/47

    $ 210,000       $ 180,830  

Las Vegas Sands Corp.

   

2.900% due 06/25/25

    5,000,000       4,754,163  

3.200% due 08/08/24

    3,400,000       3,291,395  

Lennar Corp.

   

4.500% due 04/30/24

    1,040,000       1,027,856  

4.750% due 05/30/25

    200,000       197,163  

Lowe’s Cos., Inc.
4.500% due 04/15/30

    500,000       494,336  

McDonald’s Corp.

   

1.450% due 09/01/25

    260,000       242,246  

3.300% due 07/01/25

    580,000       568,314  

3.500% due 07/01/27

    1,390,000       1,347,137  

3.600% due 07/01/30

    730,000       692,900  

3.625% due 09/01/49

    190,000       152,435  

3.700% due 01/30/26

    1,220,000       1,199,862  

3.800% due 04/01/28

    740,000       726,677  

4.200% due 04/01/50

    1,320,000       1,165,672  

MDC Holdings, Inc.
6.000% due 01/15/43

    90,000       78,327  

Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd.
6.500% due 06/20/27 ~

    1,138,988       1,136,442  

New Red Finance, Inc. (Canada)

   

3.500% due 02/15/29 ~

    1,540,000       1,380,287  

3.875% due 01/15/28 ~

    1,550,000       1,443,004  

Newell Brands, Inc.
4.700% due 04/01/26

    10,000       9,636  

NIKE, Inc.

   

2.750% due 03/27/27

    1,060,000       1,005,980  

3.250% due 03/27/40

    750,000       633,267  

3.375% due 03/27/50

    970,000       800,603  

Nissan Motor Co. Ltd. (Japan)

   

3.043% due 09/15/23 ~

    1,040,000       1,024,631  

3.522% due 09/17/25 ~

    2,700,000       2,559,584  

4.345% due 09/17/27 ~

    2,620,000       2,473,185  

Sands China Ltd. (Macau)

   

2.800% due 03/08/27

    1,590,000       1,365,387  

3.350% due 03/08/29

    2,010,000       1,671,282  

4.300% due 01/08/26

    950,000       892,798  

5.625% due 08/08/25

    3,980,000       3,882,653  

5.900% due 08/08/28

    1,010,000       959,623  

Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd.
8.000% due 09/20/25 ~

    1,409,999       1,414,828  

Target Corp.
2.250% due 04/15/25

    990,000       951,594  

Toll Brothers Finance Corp.
4.375% due 04/15/23

    770,000       769,898  

United Airlines, Inc.

   

4.375% due 04/15/26 ~

    90,000       86,209  

4.625% due 04/15/29 ~

    1,870,000       1,693,886  

VOC Escrow Ltd.
5.000% due 02/15/28 ~

    1,320,000       1,173,011  

Walmart, Inc.

   

1.500% due 09/22/28

    390,000       341,595  

1.800% due 09/22/31

    450,000       380,877  

Warnermedia Holdings, Inc.

   

3.755% due 03/15/27 ~

    570,000       537,267  

4.054% due 03/15/29 ~

    730,000       679,572  

4.279% due 03/15/32 ~

    3,740,000       3,341,761  

5.141% due 03/15/52 ~

    2,400,000       1,947,230  

6.412% due 03/15/26

    1,060,000       1,065,673  

Wynn Macau Ltd. (Macau)

   

5.125% due 12/15/29 ~

    340,000       278,870  

5.625% due 08/26/28 ~

    2,500,000       2,129,049  

Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.

 

5.125% due 10/01/29 ~

    150,000       136,424  

7.125% due 02/15/31 ~

    820,000       832,521  
   

 

 

 
      79,728,753  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

8

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Consumer, Non-Cyclical - 6.2%

   

Abbott Laboratories

   

3.750% due 11/30/26

    $ 885,000       $ 879,273  

4.750% due 11/30/36

    1,000,000       1,039,769  

4.900% due 11/30/46

    760,000       782,567  

AbbVie, Inc.

   

2.600% due 11/21/24

    2,660,000       2,568,176  

2.950% due 11/21/26

    1,110,000       1,056,866  

3.200% due 11/21/29

    2,700,000       2,506,697  

3.600% due 05/14/25

    1,600,000       1,570,121  

3.750% due 11/14/23

    370,000       366,472  

3.800% due 03/15/25

    2,430,000       2,391,520  

4.250% due 11/21/49

    1,930,000       1,704,914  

Aetna, Inc.
2.800% due 06/15/23

    540,000       537,471  

Altria Group, Inc.

   

2.350% due 05/06/25

    2,240,000       2,127,876  

2.450% due 02/04/32

    470,000       370,330  

3.400% due 02/04/41

    2,610,000       1,848,534  

3.875% due 09/16/46

    820,000       591,135  

4.400% due 02/14/26

    1,988,000       1,973,844  

5.800% due 02/14/39

    250,000       244,449  

5.950% due 02/14/49

    2,440,000       2,312,095  

6.200% due 02/14/59

    270,000       264,833  

Amgen, Inc.

   

3.625% due 05/22/24

    410,000       404,335  

4.663% due 06/15/51

    289,000       262,853  

Anheuser-Busch Cos., LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium)

 

3.650% due 02/01/26

    410,000       402,673  

4.900% due 02/01/46

    580,000       567,555  

Anheuser-Busch InBev Worldwide, Inc. (Belgium)

 

 

3.500% due 06/01/30

    1,640,000       1,547,253  

4.000% due 04/13/28

    1,010,000       999,192  

4.350% due 06/01/40

    1,540,000       1,431,677  

4.750% due 01/23/29

    590,000       602,852  

5.550% due 01/23/49

    1,850,000       1,986,284  

BAT Capital Corp. (United Kingdom)

   

3.557% due 08/15/27

    3,890,000       3,618,796  

4.540% due 08/15/47

    950,000       708,725  

Bausch Health Americas, Inc.
9.250% due 04/01/26 ~

    750,000       557,186  

Bausch Health Cos., Inc.

   

5.000% due 02/15/29 ~

    2,560,000       1,005,555  

5.250% due 01/30/30 ~

    7,880,000       2,950,075  

6.250% due 02/15/29 ~

    2,740,000       1,097,069  

7.250% due 05/30/29 ~

    800,000       307,108  

Becton Dickinson & Co.

   

3.363% due 06/06/24

    1,400,000       1,374,666  

3.734% due 12/15/24

    272,000       266,070  

4.685% due 12/15/44

    714,000       665,291  

Bristol-Myers Squibb Co.

   

3.200% due 06/15/26

    959,000       927,404  

3.400% due 07/26/29

    473,000       450,188  

Centene Corp.

   

3.375% due 02/15/30

    370,000       323,137  

4.625% due 12/15/29

    380,000       357,633  

Cigna Group

   

3.750% due 07/15/23

    2,027,000       2,017,346  

4.125% due 11/15/25

    1,010,000       994,147  

4.375% due 10/15/28

    3,500,000       3,450,928  

4.900% due 12/15/48

    2,350,000       2,213,379  

Coca-Cola Co.

   

1.450% due 06/01/27

    700,000       635,901  

2.500% due 06/01/40

    70,000       53,779  

2.600% due 06/01/50

    370,000       265,446  

3.375% due 03/25/27

    1,180,000       1,161,106  

CommonSpirit Health
4.350% due 11/01/42

    420,000       362,864  

Constellation Brands, Inc.

   

2.250% due 08/01/31

    220,000       180,877  

3.600% due 05/09/24

    620,000       612,163  

4.350% due 05/09/27

    640,000       631,661  
   

Principal
Amount

   

Value

 

CVS Health Corp.

   

1.875% due 02/28/31

    $ 430,000       $ 348,495  

2.125% due 09/15/31

    910,000       744,472  

3.625% due 04/01/27

    550,000       530,284  

3.750% due 04/01/30

    670,000       627,328  

3.875% due 07/20/25

    1,278,000       1,255,631  

4.125% due 04/01/40

    580,000       499,361  

4.250% due 04/01/50

    180,000       150,612  

5.050% due 03/25/48

    4,440,000       4,157,922  

5.125% due 07/20/45

    1,440,000       1,367,317  

CVS Pass-Through Trust

   

5.298% due 01/11/27 ~

    262,510       260,572  

6.036% due 12/10/28

    1,633,642       1,668,161  

Danone SA (France)
2.589% due 11/02/23 ~

    2,730,000       2,688,877  

DP World PLC (United Arab Emirates)
5.625% due 09/25/48 ~

    2,090,000       2,027,645  

Elevance Health, Inc.

   

3.350% due 12/01/24

    560,000       547,005  

3.650% due 12/01/27

    460,000       444,753  

4.100% due 05/15/32

    450,000       430,690  

4.550% due 05/15/52

    720,000       651,050  

Gilead Sciences, Inc.

   

3.650% due 03/01/26

    730,000       714,973  

4.750% due 03/01/46

    920,000       885,403  

HCA, Inc.

   

3.500% due 09/01/30

    450,000       401,113  

4.500% due 02/15/27

    110,000       107,505  

5.000% due 03/15/24

    1,333,000       1,325,523  

5.250% due 06/15/26

    180,000       180,267  

5.375% due 02/01/25

    517,000       517,550  

5.375% due 09/01/26

    440,000       441,869  

5.500% due 06/15/47

    450,000       423,107  

5.625% due 09/01/28

    200,000       202,482  

5.875% due 02/01/29

    630,000       644,118  

Hershey Co.
0.900% due 06/01/25

    340,000       314,129  

Humana, Inc.

   

3.950% due 03/15/27

    661,000       640,349  

4.500% due 04/01/25

    300,000       297,523  

4.625% due 12/01/42

    1,090,000       985,644  

4.800% due 03/15/47

    130,000       118,878  

Johnson & Johnson
3.625% due 03/03/37

    2,090,000       1,934,434  

Kenvue, Inc.
4.900% due 03/22/33 ~

    1,900,000       1,963,815  

Kraft Heinz Foods Co.

   

3.000% due 06/01/26

    587,000       561,107  

4.250% due 03/01/31

    420,000       406,683  

4.375% due 06/01/46

    560,000       488,368  

4.625% due 10/01/39

    30,000       27,531  

5.000% due 06/04/42

    210,000       201,590  

5.200% due 07/15/45

    990,000       960,804  

5.500% due 06/01/50

    830,000       841,164  

6.750% due 03/15/32

    50,000       56,018  

6.875% due 01/26/39

    140,000       158,793  

7.125% due 08/01/39 ~

    30,000       34,341  

Mars, Inc.

   

2.700% due 04/01/25 ~

    900,000       866,401  

3.200% due 04/01/30 ~

    590,000       543,791  

Merck & Co., Inc.
1.450% due 06/24/30

    800,000       661,708  

Mondelez International, Inc.
1.500% due 05/04/25

    1,540,000       1,442,101  

PayPal Holdings, Inc.
1.650% due 06/01/25

    630,000       591,666  

PepsiCo, Inc.

   

0.750% due 05/01/23

    1,350,000       1,345,537  

1.625% due 05/01/30

    620,000       524,997  

2.250% due 03/19/25

    190,000       183,455  

2.625% due 03/19/27

    190,000       179,688  

2.875% due 10/15/49

    400,000       304,727  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

9

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Pfizer, Inc.

   

0.800% due 05/28/25

    $ 20,000       $ 18,560  

1.700% due 05/28/30

    620,000       522,292  

2.625% due 04/01/30

    780,000       704,497  

Philip Morris International, Inc.

   

1.125% due 05/01/23

    980,000       976,994  

2.100% due 05/01/30

    260,000       216,246  

Procter & Gamble Co.

   

2.800% due 03/25/27

    300,000       286,278  

3.000% due 03/25/30

    650,000       609,982  

Reynolds American, Inc. (United Kingdom)
5.850% due 08/15/45

    1,090,000       984,295  

Service Corp. International
7.500% due 04/01/27

    510,000       529,019  

Teva Pharmaceutical Finance Co. LLC (Israel)
6.150% due 02/01/36

    280,000       254,566  

Teva Pharmaceutical Finance Netherlands III BV (Israel)

   

2.800% due 07/21/23

    377,000       372,907  

3.150% due 10/01/26

    7,115,000       6,446,048  

4.100% due 10/01/46

    1,800,000       1,201,059  

4.750% due 05/09/27

    730,000       682,315  

5.125% due 05/09/29

    5,940,000       5,386,431  

7.125% due 01/31/25

    1,140,000       1,164,521  

8.125% due 09/15/31

    540,000       567,513  

UnitedHealth Group, Inc.

   

1.250% due 01/15/26

    590,000       541,822  

2.000% due 05/15/30

    560,000       479,031  

2.300% due 05/15/31

    320,000       274,369  

3.125% due 05/15/60

    200,000       140,248  

3.500% due 06/15/23

    540,000       538,632  

3.875% due 08/15/59

    570,000       467,233  

4.000% due 05/15/29

    720,000       704,791  

4.200% due 05/15/32

    380,000       372,691  

4.250% due 06/15/48

    420,000       378,655  

4.450% due 12/15/48

    410,000       380,470  

5.700% due 10/15/40

    10,000       10,859  

5.800% due 03/15/36

    860,000       939,694  
   

 

 

 
      127,561,461  
   

 

 

 

Energy - 6.1%

   

BP Capital Markets America, Inc.

   

3.000% due 02/24/50

    2,570,000       1,822,923  

3.119% due 05/04/26

    920,000       885,818  

3.410% due 02/11/26

    1,200,000       1,170,038  

3.633% due 04/06/30

    540,000       512,738  

Cameron LNG LLC

   

2.902% due 07/15/31 ~

    540,000       480,637  

3.302% due 01/15/35 ~

    1,730,000       1,490,474  

Cheniere Energy Partners LP

   

3.250% due 01/31/32

    1,340,000       1,108,301  

4.000% due 03/01/31

    400,000       356,392  

Cheniere Energy, Inc.
4.625% due 10/15/28

    1,020,000       970,469  

Chevron Corp.

   

1.554% due 05/11/25

    600,000       566,059  

1.995% due 05/11/27

    720,000       659,831  

3.078% due 05/11/50

    220,000       166,852  

Chevron USA, Inc.
3.850% due 01/15/28

    1,110,000       1,096,418  

ConocoPhillips
6.500% due 02/01/39

    370,000       430,458  

Continental Resources, Inc.

   

2.268% due 11/15/26 ~

    560,000       497,852  

3.800% due 06/01/24

    730,000       715,713  

4.375% due 01/15/28

    660,000       622,573  

4.500% due 04/15/23

    1,180,000       1,178,541  

4.900% due 06/01/44

    290,000       224,876  

5.750% due 01/15/31 ~

    1,300,000       1,250,106  
   

Principal
Amount

   

Value

 

Coterra Energy, Inc.

   

3.900% due 05/15/27

    $ 1,620,000       $ 1,547,260  

4.375% due 03/15/29

    1,710,000       1,627,569  

Devon Energy Corp.

   

4.750% due 05/15/42

    70,000       61,030  

5.000% due 06/15/45

    2,910,000       2,590,619  

5.600% due 07/15/41

    1,240,000       1,189,534  

8.250% due 08/01/23

    3,290,000       3,304,192  

Diamondback Energy, Inc.
3.500% due 12/01/29

    2,320,000       2,122,621  

Ecopetrol SA (Colombia)

   

4.625% due 11/02/31

    850,000       654,745  

5.875% due 05/28/45

    3,880,000       2,696,600  

Energy Transfer LP

   

2.900% due 05/15/25

    1,010,000       963,036  

3.750% due 05/15/30

    2,010,000       1,856,626  

4.950% due 06/15/28

    680,000       675,864  

5.250% due 04/15/29

    410,000       408,826  

5.300% due 04/01/44

    160,000       141,855  

5.400% due 10/01/47

    590,000       525,319  

6.250% due 04/15/49

    1,030,000       1,022,385  

6.750% due 05/15/25

    1,950,000       1,723,516  

7.125% due 05/15/30

    890,000       750,715  

7.600% due 02/01/24

    1,560,000       1,575,205  

8.892% (USD LIBOR + 4.028%)

due 04/17/23 §

    390,000       347,352  

Energy Transfer LP/Regency Energy Finance Corp.
4.500% due 11/01/23

    520,000       515,589  

Enterprise Products Operating LLC

   

2.800% due 01/31/30

    2,460,000       2,183,310  

3.700% due 01/31/51

    1,180,000       914,993  

3.950% due 01/31/60

    400,000       314,471  

4.150% due 10/16/28

    1,040,000       1,011,707  

4.200% due 01/31/50

    2,100,000       1,783,960  

4.800% due 02/01/49

    470,000       431,694  

4.850% due 03/15/44

    420,000       390,315  

7.550% due 04/15/38

    360,000       422,496  

EOG Resources, Inc.

   

3.900% due 04/01/35

    1,460,000       1,340,847  

4.150% due 01/15/26

    1,040,000       1,030,559  

4.375% due 04/15/30

    80,000       79,783  

4.950% due 04/15/50

    890,000       898,153  

EQT Corp.

   

3.125% due 05/15/26 ~

    50,000       46,293  

3.625% due 05/15/31 ~

    900,000       780,964  

3.900% due 10/01/27

    1,430,000       1,345,508  

5.000% due 01/15/29

    630,000       598,153  

6.125% due 02/01/25

    120,000       120,834  

Exxon Mobil Corp.

   

1.571% due 04/15/23

    170,000       169,748  

2.992% due 03/19/25

    1,910,000       1,860,546  

3.043% due 03/01/26

    750,000       728,376  

3.482% due 03/19/30

    1,300,000       1,243,532  

4.114% due 03/01/46

    2,150,000       1,941,627  

4.327% due 03/19/50

    220,000       203,459  

Halliburton Co.
3.800% due 11/15/25

    79,000       77,450  

KazMunayGas National Co. JSC (Kazakhstan)
6.375% due 10/24/48 ~

    1,500,000       1,251,600  

Kinder Morgan Energy Partners LP
3.500% due 09/01/23

    1,410,000       1,400,544  

Kinder Morgan, Inc.

   

4.300% due 03/01/28

    450,000       442,475  

5.200% due 03/01/48

    60,000       53,813  

5.550% due 06/01/45

    210,000       198,985  

MPLX LP

   

4.500% due 04/15/38

    1,510,000       1,343,540  

4.700% due 04/15/48

    520,000       437,478  

4.800% due 02/15/29

    930,000       922,197  

4.875% due 12/01/24

    1,190,000       1,183,103  

5.200% due 03/01/47

    70,000       62,815  

5.500% due 02/15/49

    730,000       680,303  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

10

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Occidental Petroleum Corp.

   

3.000% due 02/15/27

    $ 870,000       $ 797,703  

4.100% due 02/15/47

    2,510,000       1,916,027  

4.200% due 03/15/48

    1,200,000       931,842  

4.400% due 04/15/46

    510,000       404,958  

4.625% due 06/15/45

    1,280,000       1,027,265  

6.450% due 09/15/36

    1,610,000       1,694,525  

7.875% due 09/15/31

    2,702,000       3,037,602  

Petrobras Global Finance BV (Brazil)

   

5.299% due 01/27/25

    8,001,000       7,933,040  

6.250% due 03/17/24

    150,000       150,339  

7.250% due 03/17/44

    1,270,000       1,229,447  

Petroleos Mexicanos (Mexico)

   

6.375% due 01/23/45

    520,000       328,888  

6.750% due 09/21/47

    160,000       104,130  

6.875% due 08/04/26

    1,350,000       1,282,898  

Pioneer Natural Resources Co.

   

1.125% due 01/15/26

    410,000       372,827  

1.900% due 08/15/30

    780,000       635,470  

2.150% due 01/15/31

    1,020,000       838,323  

Reliance Industries Ltd. (India)

   

2.875% due 01/12/32 ~

    850,000       707,209  

3.625% due 01/12/52 ~

    2,500,000       1,770,120  

Sabine Pass Liquefaction LLC
5.750% due 05/15/24

    730,000       731,930  

Schlumberger Holdings Corp.
3.900% due 05/17/28 ~

    1,232,000       1,185,508  

Shell International Finance BV (Netherlands)

   

2.750% due 04/06/30

    1,070,000       976,474  

2.875% due 05/10/26

    560,000       536,084  

3.250% due 04/06/50

    970,000       741,071  

4.375% due 05/11/45

    1,010,000       933,269  

4.550% due 08/12/43

    1,200,000       1,136,638  

Sinopec Group Overseas Development Ltd. (China)
4.375% due 04/10/24 ~

    1,790,000       1,779,511  

Southwestern Energy Co.

   

4.750% due 02/01/32

    770,000       681,026  

5.375% due 02/01/29

    60,000       56,619  

5.375% due 03/15/30

    250,000       235,330  

Targa Resources Corp.

   

4.950% due 04/15/52

    400,000       332,426  

5.200% due 07/01/27

    210,000       208,392  

Targa Resources Partners LP/Targa Resources Partners Finance Corp.

 

4.000% due 01/15/32

    170,000       148,351  

4.875% due 02/01/31

    770,000       721,293  

5.000% due 01/15/28

    450,000       435,541  

5.500% due 03/01/30

    540,000       528,239  

6.500% due 07/15/27

    530,000       540,851  

6.875% due 01/15/29

    270,000       275,450  

Tennessee Gas Pipeline Co. LLC
2.900% due 03/01/30 ~

    4,600,000       3,989,711  

Venture Global Calcasieu Pass LLC
3.875% due 11/01/33 ~

    1,150,000       967,317  

Western Midstream Operating LP

   

3.350% due 02/01/25

    1,120,000       1,070,614  

4.300% due 02/01/30

    2,824,000       2,573,370  

4.500% due 03/01/28

    680,000       643,950  

4.650% due 07/01/26

    460,000       445,050  

5.300% due 03/01/48

    130,000       110,351  

5.500% due 08/15/48

    960,000       828,110  

5.500% due 02/01/50

    600,000       510,000  

Williams Cos., Inc.

   

3.750% due 06/15/27

    330,000       316,871  

7.500% due 01/15/31

    5,385,000       6,003,227  

7.750% due 06/15/31

    100,000       112,038  
   

 

 

 
      125,320,383  
   

 

 

 
   

Principal
Amount

   

Value

 

Financial - 13.5%

   

ABN AMRO Bank NV (Netherlands)
4.750% due 07/28/25 ~

    $ 2,220,000       $ 2,144,941  

AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)

 

2.450% due 10/29/26

    920,000       826,853  

3.000% due 10/29/28

    1,840,000       1,607,701  

3.150% due 02/15/24

    2,180,000       2,114,553  

3.300% due 01/30/32

    780,000       646,770  

Air Lease Corp.

   

3.375% due 07/01/25

    1,160,000       1,106,082  

5.300% due 02/01/28

    1,230,000       1,214,923  

American Express Co.

   

3.375% due 05/03/24

    1,180,000       1,157,180  

4.050% due 05/03/29

    1,150,000       1,122,259  

American International Group, Inc.
2.500% due 06/30/25

    1,887,000       1,786,228  

Banco Santander SA (Spain)

   

2.746% due 05/28/25

    400,000       377,560  

3.848% due 04/12/23

    3,200,000       3,198,641  

4.175% due 03/24/28

    200,000       187,941  

5.926% (USD LIBOR + 1.120%)

due 04/12/23 §

    1,000,000       1,000,004  

Bank of America Corp.

   

2.572% due 10/20/32

    3,040,000       2,486,744  

2.592% due 04/29/31

    2,550,000       2,160,997  

2.972% due 02/04/33

    1,920,000       1,618,101  

3.419% due 12/20/28

    3,934,000       3,658,252  

3.974% due 02/07/30

    3,230,000       3,022,020  

4.000% due 04/01/24

    2,280,000       2,255,084  

4.083% due 03/20/51

    3,820,000       3,145,001  

4.125% due 01/22/24

    3,295,000       3,269,861  

4.200% due 08/26/24

    4,930,000       4,846,628  

4.250% due 10/22/26

    310,000       300,590  

4.330% due 03/15/50

    1,190,000       1,022,336  

4.450% due 03/03/26

    660,000       645,115  

5.000% due 01/21/44

    370,000       355,942  

Bank of Montreal (Canada)

   

1.850% due 05/01/25

    2,120,000       1,986,376  

3.803% due 12/15/32

    550,000       497,000  

Bank of New York Mellon Corp.
1.600% due 04/24/25

    970,000       902,194  

Bank of Nova Scotia (Canada)

   

1.300% due 06/11/25

    690,000       636,554  

4.588% due 05/04/37

    980,000       864,671  

Barclays PLC (United Kingdom)

   

4.972% due 05/16/29

    2,496,000       2,409,391  

5.088% due 06/20/30

    4,250,000       3,936,132  

Berkshire Hathaway Finance Corp.
4.250% due 01/15/49

    2,370,000       2,189,501  

BNP Paribas SA (France)

   

2.219% due 06/09/26 ~

    2,260,000       2,077,264  

2.824% due 01/26/41 ~

    910,000       607,578  

3.375% due 01/09/25 ~

    910,000       873,528  

4.375% due 03/01/33 ~

    970,000       884,502  

4.400% due 08/14/28 ~

    2,110,000       2,000,460  

4.625% due 03/13/27 ~

    1,110,000       1,060,855  

4.705% due 01/10/25 ~

    2,360,000       2,333,917  

5.125% due 01/13/29 ~

    2,280,000       2,286,482  

5.198% due 01/10/30 ~

    920,000       895,833  

BPCE SA (France)
5.150% due 07/21/24 ~

    1,370,000       1,344,392  

Canadian Imperial Bank of Commerce (Canada)
0.950% due 06/23/23

    1,250,000       1,237,454  

Chubb INA Holdings, Inc.
3.350% due 05/03/26

    440,000       425,911  

Citigroup, Inc.

   

1.678% due 05/15/24

    1,910,000       1,902,259  

3.106% due 04/08/26

    1,310,000       1,253,296  

3.500% due 05/15/23

    560,000       558,187  

3.980% due 03/20/30

    2,000,000       1,865,892  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

11

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

4.075% due 04/23/29

    $ 2,840,000       $ 2,710,209  

4.400% due 06/10/25

    3,030,000       2,955,821  

4.412% due 03/31/31

    890,000       845,569  

4.450% due 09/29/27

    1,330,000       1,290,700  

4.650% due 07/30/45

    2,171,000       1,978,101  

4.650% due 07/23/48

    1,430,000       1,327,677  

4.658% due 05/24/28

    730,000       721,651  

4.750% due 05/18/46

    440,000       390,266  

4.910% due 05/24/33

    1,920,000       1,885,584  

5.300% due 05/06/44

    240,000       228,808  

5.500% due 09/13/25

    630,000       629,480  

5.950% due 05/15/25

    2,220,000       2,071,694  

6.300% due 05/15/24

    2,520,000       2,403,450  

6.625% due 06/15/32

    480,000       515,509  

6.675% due 09/13/43

    580,000       648,432  

8.125% due 07/15/39

    200,000       258,272  

8.870% (USD LIBOR + 4.068%)

due 07/30/23 §

    1,820,000       1,810,900  

Cooperatieve Rabobank UA (Netherlands)

   

1.339% due 06/24/26 ~

    250,000       228,533  

3.649% due 04/06/28 ~

    1,560,000       1,465,533  

3.758% due 04/06/33 ~

    1,160,000       1,038,751  

4.375% due 08/04/25

    3,420,000       3,310,905  

Credit Agricole SA (France)
1.907% due 06/16/26 ~

    1,500,000       1,378,275  

Credit Suisse AG (Switzerland)

   

2.950% due 04/09/25

    1,580,000       1,470,253  

7.500% due 02/15/28

    3,400,000       3,612,500  

7.950% due 01/09/25

    3,210,000       3,267,010  

Credit Suisse Group AG (Switzerland)

   

2.193% due 06/05/26 ~

    1,718,000       1,533,664  

2.593% due 09/11/25 ~

    250,000       232,175  

3.091% due 05/14/32 ~

    2,240,000       1,806,493  

4.194% due 04/01/31 ~

    3,760,000       3,347,528  

4.550% due 04/17/26

    440,000       406,450  

9.016% due 11/15/33 ~

    780,000       926,172  

Danske Bank AS (Denmark)

   

1.226% due 06/22/24 ~

    2,570,000       2,537,743  

3.244% due 12/20/25 ~

    800,000       761,523  

5.375% due 01/12/24 ~

    1,470,000       1,456,820  

Goldman Sachs Capital II
5.730% (USD LIBOR + 0.768%)
due 05/01/23 §

    298,000       226,480  

Goldman Sachs Group, Inc.

   

2.908% due 07/21/42

    370,000       265,375  

3.210% due 04/22/42

    160,000       120,772  

3.500% due 04/01/25

    2,050,000       1,991,694  

3.500% due 11/16/26

    40,000       38,238  

3.615% due 03/15/28

    710,000       672,379  

3.625% due 02/20/24

    420,000       413,901  

4.223% due 05/01/29

    1,000,000       958,962  

4.250% due 10/21/25

    3,150,000       3,059,244  

4.750% due 10/21/45

    20,000       18,500  

5.150% due 05/22/45

    3,100,000       2,941,801  

5.950% due 01/15/27

    1,733,000       1,786,257  

6.250% due 02/01/41

    3,450,000       3,799,177  

6.750% due 10/01/37

    1,485,000       1,608,667  

Guardian Life Global Funding
1.100% due 06/23/25 ~

    690,000       634,024  

HSBC Bank USA NA
7.000% due 01/15/39

    1,240,000       1,359,251  

HSBC Holdings PLC (United Kingdom)

   

2.099% due 06/04/26

    200,000       183,812  

3.973% due 05/22/30

    1,480,000       1,336,683  

4.250% due 03/14/24

    2,070,000       2,016,917  

4.250% due 08/18/25

    1,100,000       1,047,107  

4.762% due 03/29/33

    1,190,000       1,076,698  

Intercontinental Exchange, Inc.

   

4.600% due 03/15/33

    980,000       966,906  

4.950% due 06/15/52

    540,000       525,714  

Intesa Sanpaolo SpA (Italy)

   

5.017% due 06/26/24 ~

    10,470,000       10,062,843  
   

Principal
Amount

   

Value

 

5.710% due 01/15/26 ~

    $ 350,000       $ 331,950  

JPMorgan Chase & Co.

   

1.514% due 06/01/24

    800,000       794,997  

2.083% due 04/22/26

    3,000,000       2,808,756  

2.522% due 04/22/31

    2,660,000       2,275,558  

3.109% due 04/22/51

    460,000       326,597  

3.875% due 09/10/24

    1,760,000       1,730,794  

4.023% due 12/05/24

    2,730,000       2,704,153  

4.203% due 07/23/29

    3,010,000       2,910,084  

4.250% due 10/01/27

    870,000       856,646  

4.452% due 12/05/29

    4,010,000       3,897,752  

4.950% due 06/01/45

    2,540,000       2,417,605  

KKR Group Finance Co. II LLC
5.500% due 02/01/43 ~

    350,000       332,415  

Lloyds Banking Group PLC (United Kingdom)

   

3.900% due 03/12/24

    1,910,000       1,873,199  

4.375% due 03/22/28

    2,430,000       2,308,716  

Mastercard, Inc.
3.850% due 03/26/50

    880,000       782,745  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

3.837% due 04/17/26

    910,000       882,276  

4.080% due 04/19/28

    940,000       900,838  

Morgan Stanley

   

2.188% due 04/28/26

    3,400,000       3,191,849  

2.699% due 01/22/31

    2,830,000       2,439,297  

3.622% due 04/01/31

    3,040,000       2,782,058  

3.737% due 04/24/24

    1,450,000       1,447,458  

3.772% due 01/24/29

    200,000       189,577  

4.431% due 01/23/30

    170,000       164,047  

National Securities Clearing Corp.

   

1.200% due 04/23/23 ~

    950,000       947,689  

1.500% due 04/23/25 ~

    1,000,000       934,924  

Natwest Group PLC (United Kingdom)

   

4.519% due 06/25/24

    200,000       199,053  

4.892% due 05/18/29

    360,000       345,982  

5.076% due 01/27/30

    500,000       486,659  

New York Life Global Funding
0.950% due 06/24/25 ~

    840,000       773,822  

Nuveen LLC
4.000% due 11/01/28 ~

    1,500,000       1,443,505  

Park Aerospace Holdings Ltd. (Ireland)
5.500% due 02/15/24 ~

    630,000       624,397  

Principal Life Global Funding II
1.250% due 06/23/25 ~

    640,000       585,872  

Royal Bank of Canada (Canada)

   

1.150% due 06/10/25

    1,170,000       1,077,033  

1.600% due 04/17/23

    1,970,000       1,966,679  

3.875% due 05/04/32

    570,000       527,327  

Santander UK Group Holdings PLC (United Kingdom)
5.625% due 09/15/45 ~

    408,000       338,807  

Standard Chartered PLC (United Kingdom) 6.312% (USD LIBOR + 1.510%)
due 01/30/27 § ~

    3,900,000       3,294,825  

Swedbank AB (Sweden)
1.300% due 06/02/23 ~

    2,200,000       2,182,193  

Teachers Insurance & Annuity Association of America
6.850% due 12/16/39 ~

    132,000       148,319  

Toronto-Dominion Bank (Canada)

   

0.750% due 06/12/23

    1,510,000       1,496,836  

1.150% due 06/12/25

    1,720,000       1,583,964  

4.456% due 06/08/32

    1,940,000       1,890,350  

UBS Group AG (Switzerland)

   

2.746% due 02/11/33 ~

    850,000       681,723  

4.125% due 09/24/25 ~

    1,050,000       1,005,010  

4.488% due 05/12/26 ~

    1,050,000       1,013,512  

4.751% due 05/12/28 ~

    1,350,000       1,296,313  

7.000% due 01/31/24 ~

    7,030,000       6,687,006  

US Bancorp
1.450% due 05/12/25

    2,450,000       2,257,963  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

12

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Visa, Inc.

   

3.150% due 12/14/25

    $ 2,010,000       $ 1,953,991  

4.300% due 12/14/45

    1,570,000       1,513,702  

WEA Finance LLC/Westfield UK & Europe Finance PLC (France)
3.750% due 09/17/24 ~

    6,230,000       5,906,082  

Wells Fargo & Co.

   

2.188% due 04/30/26

    1,310,000       1,228,597  

2.879% due 10/30/30

    980,000       852,288  

3.000% due 10/23/26

    2,240,000       2,097,344  

3.350% due 03/02/33

    590,000       511,882  

3.750% due 01/24/24

    1,700,000       1,680,020  

4.150% due 01/24/29

    1,150,000       1,099,225  

4.400% due 06/14/46

    1,650,000       1,364,340  

4.478% due 04/04/31

    3,350,000       3,209,224  

4.650% due 11/04/44

    1,600,000       1,382,777  

4.750% due 12/07/46

    2,550,000       2,220,311  

4.900% due 11/17/45

    1,490,000       1,329,822  

5.013% due 04/04/51

    7,140,000       6,732,740  

5.375% due 11/02/43

    2,030,000       1,947,142  

5.606% due 01/15/44

    1,567,000       1,513,697  
   

 

 

 
      279,554,103  
   

 

 

 

Industrial - 1.9%

   

3M Co.

   

2.375% due 08/26/29

    990,000       875,663  

3.050% due 04/15/30

    340,000       311,141  

3.700% due 04/15/50

    2,220,000       1,823,120  

Ball Corp.
3.125% due 09/15/31

    1,220,000       1,010,727  

Boeing Co.

   

2.196% due 02/04/26

    1,190,000       1,104,625  

2.700% due 02/01/27

    610,000       562,341  

3.200% due 03/01/29

    1,480,000       1,353,307  

3.250% due 02/01/35

    3,350,000       2,738,896  

3.550% due 03/01/38

    460,000       366,046  

3.750% due 02/01/50

    1,380,000       1,047,087  

4.875% due 05/01/25

    1,340,000       1,337,934  

5.150% due 05/01/30

    1,900,000       1,912,866  

5.705% due 05/01/40

    2,190,000       2,217,679  

5.805% due 05/01/50

    1,720,000       1,733,855  

5.930% due 05/01/60

    150,000       150,121  

Builders FirstSource, Inc.
4.250% due 02/01/32 ~

    130,000       113,398  

Carrier Global Corp.
3.577% due 04/05/50

    100,000       75,853  

Deere & Co.

   

3.100% due 04/15/30

    370,000       341,306  

3.750% due 04/15/50

    760,000       676,046  

Eaton Corp.
4.150% due 11/02/42

    410,000       363,564  

General Dynamics Corp.

   

3.250% due 04/01/25

    420,000       408,938  

4.250% due 04/01/40

    100,000       94,535  

4.250% due 04/01/50

    340,000       318,490  

L3Harris Technologies, Inc.

   

4.854% due 04/27/35

    370,000       365,405  

5.054% due 04/27/45

    570,000       545,004  

Lockheed Martin Corp.

   

3.550% due 01/15/26

    605,000       599,530  

3.900% due 06/15/32

    600,000       583,962  

4.150% due 06/15/53

    2,290,000       2,084,747  

4.500% due 05/15/36

    580,000       573,940  

Northrop Grumman Corp.

   

2.930% due 01/15/25

    1,790,000       1,734,087  

3.250% due 01/15/28

    2,110,000       2,005,791  

5.250% due 05/01/50

    890,000       923,053  

Otis Worldwide Corp.
2.056% due 04/05/25

    870,000       821,606  

Raytheon Technologies Corp.

   

2.250% due 07/01/30

    640,000       548,621  

3.150% due 12/15/24

    750,000       732,165  
   

Principal
Amount

   

Value

 

3.950% due 08/16/25

    $ 950,000       $ 939,415  

4.125% due 11/16/28

    390,000       384,780  

4.500% due 06/01/42

    380,000       360,519  

Republic Services, Inc.
2.500% due 08/15/24

    1,000,000       969,052  

Union Pacific Corp.

   

2.150% due 02/05/27

    650,000       602,476  

2.400% due 02/05/30

    840,000       739,536  

2.891% due 04/06/36

    1,060,000       876,704  

3.750% due 07/15/25

    430,000       424,198  

3.750% due 02/05/70

    1,950,000       1,503,596  

3.839% due 03/20/60

    365,000       297,097  

Vertiv Group Corp.
4.125% due 11/15/28 ~

    570,000       503,586  
   

 

 

 
      40,056,408  
   

 

 

 

Technology - 1.4%

   

Apple, Inc.

   

1.125% due 05/11/25

    2,110,000       1,981,139  

2.450% due 08/04/26

    1,610,000       1,533,301  

Broadcom, Inc.
3.137% due 11/15/35 ~

    4,110,000       3,164,032  

Intel Corp.

   

1.600% due 08/12/28

    530,000       463,408  

3.050% due 08/12/51

    240,000       164,150  

3.700% due 07/29/25

    620,000       611,467  

4.750% due 03/25/50

    920,000       844,899  

5.125% due 02/10/30

    880,000       896,534  

International Business Machines Corp.
3.000% due 05/15/24

    2,800,000       2,748,840  

Micron Technology, Inc.
5.875% due 02/09/33

    1,220,000       1,234,238  

Microsoft Corp.

   

2.525% due 06/01/50

    41,000       29,051  

2.921% due 03/17/52

    1,497,000       1,139,549  

3.041% due 03/17/62

    908,000       681,764  

3.300% due 02/06/27

    960,000       942,383  

3.450% due 08/08/36

    72,000       66,670  

NVIDIA Corp.

   

2.850% due 04/01/30

    580,000       528,315  

3.500% due 04/01/40

    1,520,000       1,306,613  

3.500% due 04/01/50

    1,250,000       1,024,703  

3.700% due 04/01/60

    1,590,000       1,284,545  

NXP BV/NXP Funding LLC/NXP USA, Inc. (China)
2.700% due 05/01/25

    1,030,000       978,082  

Oracle Corp.

   

1.650% due 03/25/26

    2,150,000       1,976,121  

2.875% due 03/25/31

    1,830,000       1,566,868  

2.950% due 04/01/30

    260,000       229,664  

4.650% due 05/06/30

    900,000       876,629  

Salesforce, Inc.

   

3.250% due 04/11/23

    1,200,000       1,199,397  

3.700% due 04/11/28

    680,000       668,584  

Texas Instruments, Inc.
1.750% due 05/04/30

    890,000       754,422  

Workday, Inc.
3.700% due 04/01/29

    950,000       891,398  
   

 

 

 
      29,786,766  
   

 

 

 

Utilities - 0.3%

   

Berkshire Hathaway Energy Co.
6.125% due 04/01/36

    586,000       645,924  

Consolidated Edison Co. of New York, Inc.

   

3.350% due 04/01/30

    390,000       359,629  

3.950% due 04/01/50

    470,000       390,258  

Duke Energy Ohio, Inc.
3.650% due 02/01/29

    1,390,000       1,317,703  

Pacific Gas and Electric Co.

   

2.100% due 08/01/27

    810,000       707,034  

2.500% due 02/01/31

    350,000       283,847  

3.300% due 08/01/40

    210,000       149,285  

3.500% due 08/01/50

    490,000       324,126  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

13

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Virginia Electric & Power Co.
6.350% due 11/30/37

    $ 2,130,000       $ 2,378,593  
   

 

 

 
      6,556,399  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $912,780,395)

      822,016,902  
   

 

 

 

SENIOR LOAN NOTES - 3.1%

   

Communications - 0.2%

   

Charter Communications Operating LLC

   

Term B1

6.557% (USD LIBOR + 1.750%)

due 04/30/25 §

    924,594       925,028  

Term B2

6.557% (SOFR + 1.750%)

due 02/01/27 §

    7,386       7,329  

Virgin Media Bristol LLC

   

Term N

7.184% (USD LIBOR + 2.500%)

due 01/31/28 §

    1,811,848       1,788,229  

Term Q

7.934% (USD LIBOR + 3.250%)

due 01/31/29 §

    620,000       614,907  
   

 

 

 
      3,335,493  
   

 

 

 

Consumer, Cyclical - 0.8%

   

Air Canada Term B (Canada)
8.369% (USD LIBOR + 3.500%)
due 08/11/28 §

    1,657,475       1,653,923  

Alterra Mountain Co. Term B
8.340% (USD LIBOR + 3.500%)
due 08/17/28 §

    1,344,349       1,340,989  

Caesars Entertainment Corp. Term B
8.157% (SOFR + 3.250%)
due 02/06/30 §

    160,000       159,400  

Clarios Global LP Term B
8.090% (USD LIBOR + 3.250%)
due 04/30/26 §

    3,675,191       3,663,706  

Great Outdoors Group LLC Term B1
8.590% (USD LIBOR + 3.750%)
due 03/06/28 §

    1,022,721       1,011,641  

GVC Holdings Gibraltar Ltd. Term B4 (United Kingdom)
7.437% (USD LIBOR + 2.500%)
due 03/29/27 §

    286,586       286,542  

Harbor Freight Tools USA, Inc. Term B
7.590% (USD LIBOR + 2.750%)
due 10/19/27 §

    1,007,352       980,909  

PCI Gaming Authority Term B
7.340% (USD LIBOR + 2.500%)
due 05/29/26 §

    1,637,523       1,638,956  

Scientific Games International, Inc. (2nd Lien)
7.960% (SOFR + 3.000%)
due 04/14/29 §

    1,868,593       1,856,332  

SkyMiles IP Ltd. Term B
8.558% (USD LIBOR + 3.750%)
due 10/20/27 §

    589,000       611,382  

Station Casinos LLC Term B
7.100% (USD LIBOR + 2.250%)
due 02/08/27 §

    1,040,147       1,033,646  

UFC Holdings LLC Term B
7.570% (USD LIBOR + 2.750%)
due 04/29/26 §

    1,282,253       1,276,198  
   

Principal
Amount

   

Value

 

United Airlines, Inc. Term B
8.568% (USD LIBOR + 3.750%)
due 04/21/28 §

    $ 1,070,024       $ 1,065,789  
   

 

 

 
      16,579,413  
   

 

 

 

Consumer, Non-Cyclical - 0.9%

   

Allied Universal Holdco LLC Term B
8.657% (SOFR + 3.750%)
due 05/12/28 §

    2,059,560       1,957,869  

Belron Finance US LLC Term B
7.125% (USD LIBOR + 2.250%)
due 11/13/25 §

    646,496       647,103  

Eyecare Partners LLC
8.590% (USD LIBOR + 3.750%)
due 02/18/27 §

    942,409       779,254  

Gainwell Acquisition Corp. Term B
8.998% (SOFR + 4.000%)
due 10/01/27 §

    1,428,199       1,361,252  

Garda World Security Corp. Term B (Canada)
9.109% (SOFR + 4.250%)
due 10/30/26 §

    631,822       627,610  

Global Medical Response, Inc. Term B
9.236% (USD LIBOR + 4.250%)
due 10/02/25 §

    2,920,209       2,080,649  

ICON Luxembourg SARL Term B (Luxembourg)
7.410% (SOFR + 2.250%)
due 07/03/28 §

    1,661,003       1,659,792  

Medline Borrower LP Term B
8.090% (USD LIBOR + 3.250%)
due 10/23/28 §

    13,047       12,736  

Phoenix Guarantor, Inc.

   

Term B

8.090% (USD LIBOR + 3.250%)

due 03/05/26 §

    1,449,592       1,414,712  

Term B3

8.340% (USD LIBOR + 3.500%)

due 03/05/26 §

    280,511       273,762  

PRA Health Sciences, Inc. Term B
7.409% (USD LIBOR + 2.250%)
due 07/03/28 §

    440,024       439,703  

Prime Security Services Borrower LLC Term B1
7.943% (USD LIBOR + 2.750%)
due 09/23/26 §

    975,386       973,497  

Sotera Health Holdings LLC
7.575% (USD LIBOR + 2.750%)
due 12/11/26 §

    2,490,000       2,407,519  

Trans Union LLC Term B5
6.590% (USD LIBOR + 1.750%)
due 11/16/26 §

    994,140       988,105  

Triton Water Holdings, Inc. Term B
8.659% (USD LIBOR + 3.500%)
due 03/31/28 §

    1,907,982       1,723,384  

Verscend Holding Corp. Term B
8.840% (USD LIBOR + 4.000%)
due 08/27/25 §

    174,905       174,971  
   

 

 

 
      17,521,918  
   

 

 

 

Diversified - 0.0%

   

First Eagle Holdings, Inc. Term B
7.659% (USD LIBOR + 2.500%)
due 02/01/27 §

    934,883       912,095  
   

 

 

 

Financial - 0.5%

   

Allspring Buyer LLC Term B
8.163% (USD LIBOR + 3.000%)
due 11/01/28 §

    826,939       825,217  

AmWINS Group, Inc.

   

Term B

7.109% (USD LIBOR + 2.250%)

due 02/19/28 §

    305,180       302,022  

7.657% (SOFR + 2.750%)

due 02/19/28 §

    219,450       216,501  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

14

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Asurion LLC

   

Term B8

8.090% (USD LIBOR + 3.250%)

due 12/23/26 §

  $ 1,422,739     $ 1,326,704  

Term B9

8.090% (USD LIBOR + 3.250%)

due 07/31/27 §

    132,185       121,610  

Term B11

9.157% (SOFR + 4.250%)

due 08/19/28 §

    1,950,745       1,812,568  

Castlelake Aviation Ltd. Term B
7.616% (USD LIBOR + 2.750%)
due 10/22/26 §

    1,067,378       1,058,572  

Citadel Securities LP Term B
7.422% (SOFR + 2.500%)
due 02/02/28 §

    157,744       156,640  

Deerfield Dakota Holding LLC Term B
8.557% (SOFR + 3.750%)
due 04/09/27 §

    1,310,571       1,272,346  

Setanta Aircraft Leasing DAC Term B (Ireland)
7.159% (USD LIBOR + 2.000%)
due 11/05/28 §

    2,290,000       2,293,577  

VFH Parent LLC Term B
7.859% (SOFR + 3.000%)
due 01/13/29 § ±

    1,574,100       1,526,877  
   

 

 

 
      10,912,634  
   

 

 

 

Industrial - 0.4%

   

Ali Group North America Corp. Term B
6.922% (SOFR + 2.000%)
due 07/30/29 §

    945,347       933,235  

Brown Group Holding LLC Term B
7.407% (SOFR + 2.500%)
due 06/07/28 §

    2,243,398       2,226,012  

Coherent Corp Term B
7.672% (USD LIBOR + 2.750%)
due 07/02/29 §

    1,440,671       1,429,865  

Genesee & Wyoming, Inc.
6.998% (USD LIBOR + 2.000%)
due 12/30/26 §

    1,809,317       1,800,578  

GFL Environmental, Inc. Term B (Canada)
7.806% (SOFR + 3.000%)
due 05/28/27 §

    96,499       96,620  

Solis IV BV Term B1 (Netherlands)
8.373% (SOFR + 3.500%)
due 02/26/29 §

    2,519,084       2,277,882  
   

 

 

 
      8,764,192  
   

 

 

 

Technology - 0.3%

   

AthenaHealth Group, Inc.

   

Term B

8.160% (SOFR + 3.500%)

due 02/15/29 § f

    155,868       145,347  

8.259% (SOFR + 3.500%)

due 02/15/29 §

    1,268,791       1,183,148  

Cloudera, Inc. Term B
8.657% (USD LIBOR + 3.750%)
due 10/08/28 §

    715,100       675,769  

Dcert Buyer, Inc. Term B
8.696% (SOFR + 4.000%)
due 10/16/26 §

    1,401,956       1,377,772  

Magenta Buyer LLC (1st Lien)
9.580% (USD LIBOR + 4.750%)
due 07/27/28 §

    2,102,789       1,734,801  
   

Principal
Amount

   

Value

 

Peraton Corp. Term B
8.590% (USD LIBOR + 3.750%)
due 02/01/28 §

    $ 1,543,680       $ 1,525,542  
   

 

 

 
      6,642,379  
   

 

 

 

Total Senior Loan Notes
(Cost $67,288,014)

      64,668,124  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 37.7%

 

Collateralized Mortgage Obligations - Commercial – 4.7%

 

Bank 2019-BN17(IO)
1.009% due 04/15/52 §

    35,903,213       1,702,390  

BANK 2023-BNK45
5.203% due 02/15/56

    2,040,000       2,042,781  

BBCCRE Trust
4.563% due 08/10/33 § ~

    4,965,000       3,759,581  

BHMS
5.934% (USD LIBOR + 1.250%)
due 07/15/35 § ~

    3,500,000       3,371,576  

BX Commercial Mortgage Trust
5.535% (USD LIBOR + 0.850%)
due 11/15/38 § ~

    2,480,000       2,387,576  

BX Trust
5.045% due 02/15/28 ~

    1,240,000       1,211,767  

CD Mortgage Trust (IO)
1.226% due 05/10/50 §

    25,422,890       975,334  

Citigroup Commercial Mortgage Trust
4.175% due 07/10/47 §

    1,970,000       1,884,865  

Commercial Mortgage Trust

   

4.300% due 10/10/46

    510,000       461,886  

4.762% due 10/10/46 §

    450,000       376,105  

4.873% due 08/15/45 § ~

    2,390,000       2,072,054  

5.110% due 10/10/46 §

    220,000       147,747  

Commercial Mortgage Trust (IO)
1.228% due 10/15/45 §

    2,153,617       22  

Credit Suisse Mortgage Capital Certificates
7.334% (USD LIBOR + 2.650%)
due 05/15/36 § ~

    5,416,524       5,272,809  

Credit Suisse Mortgage Trust

   

3.953% due 09/15/37 ~

    6,800,000       6,190,392  

4.373% due 09/15/37 ~

    1,700,000       952,222  

10.034% (USD LIBOR + 5.350%)

due 07/15/32 § ~

    3,750,000       3,355,883  

CSMC

   

7.523% (SOFR + 2.695%)

due 06/15/39 § ~

    1,830,000       1,820,931  

DBJPM Mortgage Trust
2.890% due 08/10/49

    2,010,000       1,850,792  

Fannie Mae

   

2.232% due 02/25/27

    2,012,081       1,891,899  

2.560% due 09/25/29

    965,085       880,904  

2.720% due 10/25/31 §

    366,838       326,993  

3.106% due 04/25/28 §

    82,729       78,738  

Fannie Mae (IO)
0.560% due 06/25/29 §

    9,375,931       256,722  

Fannie Mae - Aces

   

2.500% due 10/25/37

    433,821       381,198  

3.061% due 05/25/27 §

    521,347       498,133  

Federal Home Loan Mortgage Corp.
Multifamily Structured Pass-Through Certificates
0.357% due 06/25/32 §

    9,992,240       294,664  

Freddie Mac (IO)

   

0.348% due 09/25/31 §

    3,098       75  

0.472% due 02/25/36 §

    4,987,620       203,810  

0.570% due 12/25/27 §

    5,983,525       132,608  

0.598% due 12/25/35 §

    15,773       762  

0.779% due 03/25/28 §

    6,095,430       161,792  

1.666% due 08/27/28 §

    4,000,000       292,948  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

15

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Freddie Mac Multifamily Structured Pass-Through Certificates

 

0.230% due 06/25/54 §

    $ 5,498,856       $ 109,942  

0.297% due 03/25/32 §

    6,897,343       157,499  

0.342% due 04/25/55 §

    6,995,024       186,423  

Freddie Mac Multifamily Structured Pass-Through Certificates (IO)

 

0.637% due 10/25/26 §

    16,682,109       293,547  

0.880% due 06/25/29 §

    7,228,451       322,523  

1.148% due 06/25/29 §

    6,050,000       373,748  

1.212% due 06/25/27 §

    1,521,882       45,539  

1.288% due 07/25/26 §

    4,978,678       170,969  

Government National Mortgage Association

   

1.450% due 01/16/63

    2,419,893       1,924,386  

1.850% due 02/16/61

    1,700,000       981,759  

2.200% due 10/16/63

    2,000,000       1,555,997  

2.844% due 11/16/47 §

    919,125       837,774  

3.000% due 10/16/64 §

    2,900,000       2,303,154  

Government National Mortgage Association (IO)

 

0.064% due 10/16/48 §

    4,593,825       6,213  

0.323% due 01/16/53 §

    26,096,144       226,194  

0.449% due 08/16/58 §

    1,240,685       32,292  

0.503% due 12/16/59 §

    1,858,966       59,629  

0.507% due 04/16/57 §

    1,615,457       48,990  

0.527% due 02/16/59 §

    1,873,765       61,435  

0.567% due 01/16/63 §

    4,916,413       251,184  

0.570% due 11/16/47 §

    8,013,856       103,452  

0.571% due 02/16/62 §

    3,439,700       182,954  

0.595% due 07/16/58 §

    1,029,926       28,944  

0.640% due 02/16/61 §

    2,153,029       123,109  

0.666% due 11/16/55 §

    6,676,599       163,119  

0.805% due 01/16/61 §

    12,397,501       753,778  

0.826% due 05/16/63 §

    4,661,306       292,549  

0.840% due 05/16/60 §

    1,784,556       105,942  

0.870% due 10/16/62 §

    2,736,467       175,892  

0.913% due 11/16/60 §

    5,695,890       369,977  

1.422% due 10/16/60 §

    30,677,245       2,712,635  

GS Mortgage Securities Corp. Trust

   

5.835% (USD LIBOR + 1.150%)

due 05/15/26 § ~

    2,360,000       2,130,365  

6.484% (USD LIBOR + 1.800%)

due 09/15/31 § ~

    3,882,008       3,241,475  

GS Mortgage Securities Trust

   

3.164% due 05/10/50

    3,048,713       2,816,390  

3.777% due 05/10/50 §

    3,880,000       3,659,821  

4.025% due 05/10/50 §

    550,000       502,592  

5.161% due 11/10/46 §

    1,070,000       1,051,548  

JP Morgan Chase Commercial Mortgage Securities Trust

 

2.822% due 08/15/49

    3,400,000       3,136,839  

4.623% due 08/15/48 §

    2,470,000       2,305,801  

4.884% due 01/15/47 §

    510,000       497,443  

6.201% due 02/15/51 §

    17,632       15,722  

MHC Commercial Mortgage Trust
5.485% (USD LIBOR + 0.801%)
due 04/15/38 § ~

    1,240,000       1,200,761  

ML-CFC Commercial Mortgage Trust

   

5.450% due 08/12/48 §

    426,971       109,389  

5.450% due 08/12/48 § ~

    53,910       13,812  

6.193% due 09/12/49 §

    40,869       40,075  

Ready Capital Mortgage Financing LLC

   

6.045% (USD LIBOR + 1.200%)

due 11/25/36 § ~

    4,696,326       4,597,276  

7.259% (SOFR + 2.467%)

due 06/25/37 § ~

    948,402       946,909  

Shops at Crystals Trust
3.126% due 07/05/36 ~

    7,500,000       6,634,490  

Waterfall Commercial Mortgage Trust
4.104% due 01/14/26 § ~

    637,415       627,230  

WFRBS Commercial Mortgage Trust

   

4.204% due 11/15/47 §

    3,830,000       3,531,696  

4.723% due 03/15/47 §

    340,000       329,333  

WFRBS Commercial Mortgage Trust (IO)
0.961% due 03/15/47 §

    5,952,054       30,436  
   

 

 

 
    97,618,910  
   

 

 

 
   

Principal
Amount

   

Value

 

Collateralized Mortgage Obligations - Residential - 6.5%

 

Adjustable Rate Mortgage Trust

   

3.024% due 10/25/35 §

    $ 1,160,364       $ 969,287  

5.345% (USD LIBOR + 0.500%)

due 03/25/36 §

    334,576       95,013  

Alternative Loan Trust

 

6.000% due 03/25/27

    10,330       10,176  

6.280% (16.940% - USD LIBOR)

due 06/25/35 §

    2,117,272       1,787,775  

6.500% due 09/25/36

    1,026,865       594,819  

9.219% (28.600% - USD LIBOR)
due 07/25/36 §

    716,946       703,221  

Angel Oak Mortgage Trust
4.750% due 09/26/67 § ~

    4,885,629       4,717,030  

Chevy Chase Funding LLC Mortgage-Backed Certificates
5.025% (USD LIBOR + 0.180%)
due 08/25/47 § ~

    130,377       104,776  

Citigroup Mortgage Loan Trust, Inc.

   

4.133% due 04/25/37 §

    233,750       204,237  

6.500% due 10/25/36 § ~

    1,273,774       733,512  

Connecticut Avenue Securities Trust

   

6.895% (USD LIBOR + 2.050%)

due 01/25/40 § ~

    1,183,675       1,188,017  

6.945% (USD LIBOR + 2.100%)

due 10/25/39 § ~

    522,891       524,561  

Countrywide Home Loan Mortgage Pass-Through Trust

 

 

5.500% due 07/25/35

    472,117       256,813  

5.750% due 02/25/37

    3,089,941       1,591,058  

Credit Suisse Mortgage Trust

   

2.000% due 01/25/60 ~

    1,470,550       1,252,167  

3.500% due 02/25/48 § ~

    7,080,089       6,369,993  

3.931% due 01/27/36 § ~

    7,895,183       7,120,311  

CSMC Trust

   

1.101% due 05/25/66 § ~

    1,731,116       1,418,552  

2.952% due 07/25/57 § ~

    9,880,000       8,945,777  

6.811% (SOFR + 2.500%)

due 10/25/66 § ~

    4,994,191       4,981,724  

DCP Rights, LLC
7.550% due 01/15/24

    1,250,000       1,252,627  

Fannie Mae

   

4.000% due 07/25/40

    2,001,533       1,969,933  

5.195% (USD LIBOR + 0.350%)

due 05/25/34 §

    174,126       172,432  

6.000% due 05/25/42

    458,779       488,649  

6.500% due 06/25/39

    22,227       22,766  

7.000% due 05/25/42

    188,728       204,722  

Fannie Mae (IO)

   

0.128% due 10/25/35 §

    153,544       7,747  

0.255% due 08/25/44 §

    1,221,406       57,223  

0.309% due 08/25/55 §

    429,674       16,129  

0.388% due 03/25/36 §

    89,861       3,901  

0.955% due 07/25/36 §

    155,968       12,468  

1.305% (6.150% - USD LIBOR)

due 09/25/41 - 08/25/45 §

    4,273,204       391,749  

1.635% (6.480% - USD LIBOR)

due 04/25/40 §

    243,421       28,923  

1.755% (6.600% - USD LIBOR)

due 07/25/42 §

    157,703       19,432  

1.805% (6.650% - USD LIBOR)

due 03/25/42 §

    611,949       39,833  

2.500% due 08/25/50 - 02/25/51

    4,084,961       624,688  

3.000% due 11/25/26 - 09/25/32

    1,753,283       82,410  

3.500% due 07/25/28 - 11/25/41

    980,025       119,024  

4.000% due 11/25/41

    1,047,254       190,932  

4.365% due 12/25/36 §

    373,632       27,763  

4.500% due 11/25/39

    140,247       26,159  

4.733% due 12/25/36 §

    287,820       15,999  

5.000% due 01/25/38 - 01/25/39

    392,297       74,551  

5.000% due 01/25/39 §

    100,387       20,142  

5.500% due 01/25/39 §

    91,668       19,930  

6.000% due 01/25/38 - 07/25/38

    398,938       87,253  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

16

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Fannie Mae (PO)
due 03/25/42

    $ 80,256       $ 71,775  

Fannie Mae Connecticut Avenue Securities

   

9.845% (USD LIBOR + 5.000%)

due 11/25/24 §

    131,304       132,291  

10.095% (USD LIBOR + 5.250%)

due 10/25/23 §

    609,190       619,929  

Fannie Mae REMICS

   

2.000% due 08/25/50

    2,600,000       2,011,541  

2.500% due 02/25/44

    3,771,756       3,282,121  

Flagstar Mortgage Trust
3.500% due 04/25/48 § ~

    104,769       102,107  

Freddie Mac

   

3.000% due 08/15/48

    355,004       315,968  

4.000% due 12/15/39 - 04/25/52

    1,206,057       1,141,867  

5.000% due 02/15/30

    582,570       588,427  

5.684% (USD LIBOR + 1.000%)

due 02/15/32 §

    28,210       27,056  

6.000% due 05/15/36

    836,166       881,685  

6.360% (SOFR + 1.800%)

due 01/25/51 § ~

    2,348,789       2,317,820  

7.145% (USD LIBOR + 2.300%)

due 01/25/50 § ~

    2,570,000       2,488,153  

Freddie Mac (IO)

   

0.212% due 04/15/41 §

    537,443       23,479  

0.250% due 01/15/38 §

    48,158       416  

1.266% (5.950% - USD LIBOR)

due 10/15/41 §

    437,465       41,454  

1.316% (6.000% - USD LIBOR)

due 05/15/44 §

    2,328,124       253,085  

1.346% (6.030% - USD LIBOR)

due 09/15/37 §

    640,147       52,151  

1.366% (6.050% - USD LIBOR)

due 08/15/39 §

    616,911       52,333  

1.546% (6.230% - USD LIBOR)

due 01/15/40 §

    109,808       11,047  

1.566% (6.250% - USD LIBOR)

due 09/15/42 §

    370,134       30,691  

1.606% (6.290% - USD LIBOR)

due 11/15/36 §

    213,727       20,951  

2.000% due 10/25/50

    2,141,447       289,570  

2.500% due 05/25/49 - 01/25/51

    11,687,303       1,749,448  

3.000% due 12/15/31

    308,739       16,051  

3.500% due 06/15/27 - 04/15/43

    960,835       67,412  

4.000% due 04/15/43

    66,663       2,740  

Freddie Mac REMICS

   

2.000% due 03/25/51

    5,271,170       593,241  

3.000% due 09/15/44

    2,322,092       2,082,824  

Freddie Mac STACR Trust
6.695% (USD LIBOR + 1.850%)
due 02/25/50 § ~

    1,834,092       1,823,682  

Freddie Mac Structured Agency Credit Risk Debt Notes
14.195% (USD LIBOR + 9.350%)
due 04/25/28 §

    2,833,222       2,964,846  

Government National Mortgage Association

   

2.500% due 05/20/51 - 10/20/51

    4,304,748       2,201,966  

2.750% due 03/20/48

    505,998       457,146  

3.000% due 07/20/49

    2,353,975       2,143,824  

4.866% (USD LIBOR + 0.300%)

due 02/20/68 - 07/20/68 §

    1,758,199       1,739,813  

4.966% (USD LIBOR + 0.400%)

due 08/20/70 §

    156,627       155,231  

5.016% (USD LIBOR + 0.450%)

due 07/20/70 §

    509,925       493,930  

5.066% (USD LIBOR + 0.500%)

due 03/20/61 - 07/20/70 §

    1,192,495       1,174,486  

5.635% (USD LIBOR + 1.000%)

due 05/20/60 §

    176,530       176,888  

Government National Mortgage Association (IO)

 

 

0.475% due 11/20/42 §

    131,099       3,195  
   

Principal
Amount

   

Value

 

1.372% (6.100% - USD LIBOR)

due 08/16/42 §

    $416,139       $45,154  

1.422% (6.150% - USD LIBOR)

due 06/16/43 §

    379,702       14,992  

1.472% (6.200% - USD LIBOR)

due 10/16/42 §

    571,891       64,402  

1.719% (6.480% - USD LIBOR)

due 04/20/40 §

    59,231       6,782  

1.789% (6.550% - USD LIBOR)

due 06/20/40 §

    1,155,053       123,080  

1.872% (6.600% - USD LIBOR)

due 04/16/42 §

    1,146,520       156,867  

1.889% (6.650% - USD LIBOR)

due 01/20/40 §

    16,304       143  

2.000% due 12/20/50

    7,608,473       832,287  

2.500% due 08/20/50 - 02/20/51

    22,733,514       3,198,052  

3.500% due 04/20/27 - 04/20/50

    3,289,501       521,685  

4.000% due 04/16/45

    616,691       110,354  

5.000% due 10/20/44

    2,993,802       590,380  

GS Mortgage-Backed Securities Trust
4.000% due 05/25/62 § ~

    1,830,558       1,666,360  

Impac CMB Trust
5.365% (USD LIBOR + 0.520%)
due 11/25/35 §

    991,572       859,626  

IndyMac INDX Mortgage Loan Trust
5.365% (USD LIBOR + 0.520%)
due 06/25/35 §

    840,020       645,813  

JP Morgan Mortgage Trust

   

3.500% due 09/25/48 § ~

    755,788       678,420  

3.500% due 10/25/48 § ~

    1,592,181       1,429,027  

4.207% due 08/25/35 §

    258,612       237,238  

Legacy Mortgage Asset Trust

   

1.750% due 04/25/61 § ~

    1,962,395       1,840,600  

2.250% due 07/25/67 § ~

    3,693,434       3,374,817  

Lehman Mortgage Trust
5.500% (USD LIBOR + 0.750%)
due 12/25/35 §

    2,762,923       1,351,297  

MASTR Reperforming Loan Trust
7.000% due 08/25/34 ~

    895,013       689,990  

Merrill Lynch Mortgage Investors Trust
3.471% due 06/25/35 §

    499,745       457,807  

Morgan Stanley Mortgage Loan Trust

   

3.543% due 07/25/34 §

    127,119       113,456  

3.703% due 07/25/35 §

    516,473       422,807  

Morgan Stanley Resecuritization Trust
3.503% (US FED + 0.710%)
due 12/27/46 § ~

    5,431,969       4,618,660  

NAAC Reperforming Loan REMIC Trust Certificates
6.500% due 02/25/35 ~

    1,048,286       948,813  

New Residential Mortgage Loan Trust
4.000% due 05/25/57 § ~

    1,838,733       1,714,643  

Nomura Resecuritization Trust
3.365% (US FED + 1.000%)
due 08/26/46 § ~

    3,378,575       3,041,423  

PMT Credit Risk Transfer Trust
7.602% (USD LIBOR + 2.750%)
due 05/27/23 § ~

    2,982,521       2,919,575  

PRKCM Trust
2.071% due 11/25/56 § ~

    2,018,460       1,684,525  

RAAC Trust
6.000% due 09/25/34

    8,416       7,885  

Radnor RE Ltd. (Bermuda)
7.260% (SOFR + 2.700%)
due 12/27/33 § ~

    8,010,000       7,923,981  

Residential Asset Securitization Trust

   

5.345% (USD LIBOR + 0.500%)

due 07/25/36 §

    315,264       227,853  

6.000% due 08/25/36

    687,511       461,603  

Structured Adjustable Rate Mortgage Loan Trust

   

3.848% due 05/25/36 §

    1,134,338       723,116  

4.084% due 08/25/36 §

    2,667,258       1,863,562  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

17

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Verus Securitization Trust
4.910% due 06/25/67 § ~

    $1,689,384       $1,651,181  

WaMu Mortgage Pass-Through Certificates Trust

 

 

3.187% due 10/25/36 §

    399,136       351,065  

3.884% due 07/25/37 §

    1,419,284       1,279,878  

4.157% due 09/25/33 §

    57,436       52,232  

Washington Mutual Mortgage Pass-Through Certificates Trust

 

 

3.838% (US FED + 0.700%)

due 01/25/47 §

    3,117,175       2,433,759  

6.000% due 07/25/36

    366,953       256,849  
   

 

 

 
      133,740,883  
   

 

 

 

Fannie Mae - 13.7%

 

due 04/13/53 #

    12,800,000       10,583,148  

due 04/13/53 #

    6,700,000       5,775,348  

due 04/13/53 #

    13,600,000       12,203,793  

due 04/13/53 #

    16,000,000       14,868,125  

due 04/13/53 #

    8,500,000       8,130,150  

due 04/13/53 #

    14,400,000       14,110,185  

due 04/13/53 #

    8,900,000       8,877,055  

due 04/13/53 #

    5,500,000       5,555,967  

1.500% due 03/01/51

    2,919,541       2,301,127  

2.000% due 06/01/41 - 03/01/52

    37,535,098       31,369,785  

2.149% due 02/01/32 §

    716,952       610,590  

2.500% due 03/01/38 - 09/01/61

    56,506,365       49,040,838  

2.810% due 04/01/25

    130,000       125,773  

2.930% due 06/01/30

    246,258       230,553  

3.000% due 07/01/35 - 03/01/52

    47,615,883       43,701,555  

3.200% due 02/01/29

    89,589       85,191  

3.250% due 05/01/29

    174,825       166,715  

3.450% due 03/01/29

    152,551       147,140  

3.500% due 12/01/34 - 06/01/52

    32,154,595       30,524,793  

3.850% due 08/01/32

    400,000       381,488  

3.900% due 08/01/32

    500,000       478,787  

4.000% due 10/01/42 - 06/01/57

    19,433,938       19,006,374  

4.060% due 07/01/32

    600,000       581,955  

4.310% due 02/01/30

    800,000       804,753  

4.480% due 05/01/33

    100,000       102,366  

4.500% due 04/01/23 - 08/01/58

    12,878,044       12,844,409  

5.000% due 07/01/33 - 06/01/41

    4,020,546       4,107,350  

5.500% due 04/01/37 - 02/01/53

    1,032,632       1,063,448  

6.000% due 07/01/41 - 01/01/53

    1,361,568       1,411,050  

6.500% due 05/01/40 - 02/01/53

    3,102,747       3,240,934  

7.000% due 02/01/39

    406,122       433,858  
   

 

 

 
      282,864,603  
   

 

 

 

Freddie Mac - 6.4%

 

1.500% due 10/01/41 - 02/01/51

    2,715,676       2,184,889  

2.000% due 09/01/41 - 02/01/52

    30,742,082       25,849,093  

2.091% (UST + 1.285%) due 03/01/47 §

    635,375       605,015  

2.500% due 04/01/41 - 04/01/52

    57,549,684       50,330,830  

2.877% (USD LIBOR + 1.619%)

due 11/01/47 §

    1,755,689       1,700,328  

3.000% due 05/01/42 - 04/01/52

    12,286,208       11,236,805  

3.007% (USD LIBOR + 1.628%)

due 11/01/48 §

    4,925,987       4,713,688  

3.097% (USD LIBOR + 1.621%)

due 02/01/50 §

    1,808,493       1,750,366  

3.500% due 01/01/38 - 05/01/52

    5,172,745       4,887,225  

4.000% due 10/01/42 - 07/01/49

    17,626,198       17,191,738  

4.500% due 07/01/23 - 01/01/51

    6,056,107       6,099,887  

5.000% due 12/01/35 - 06/01/48

    2,398,902       2,451,801  

5.500% due 08/01/37 - 01/01/53

    772,502       797,973  

6.000% due 10/01/36 - 12/01/52

    1,940,229       2,021,492  

6.500% due 09/01/39 - 03/01/53

    1,660,633       1,719,558  

7.000% due 03/01/39

    114,908       123,469  
   

 

 

 
      133,664,157  
   

 

 

 
   

Principal
Amount

   

Value

 

Government National Mortgage Association - 6.4%

 

due 04/20/53 #

    $1,600,000       $1,408,188  

due 04/20/53 #

    1,800,000       1,733,069  

due 04/20/53 #

    5,900,000       5,811,678  

due 04/20/53 #

    7,600,000       7,610,094  

due 04/20/53 #

    7,000,000       7,079,707  

2.000% due 02/20/51 - 04/20/53

    10,726,373       9,159,565  

2.500% due 08/20/50 - 02/20/53

    29,801,576       26,268,323  

3.000% due 09/15/42 - 04/20/52

    31,242,178       28,530,024  

3.500% due 06/20/44 - 12/20/52

    20,243,265       19,177,170  

4.000% due 02/20/33 - 04/20/50

    11,149,533       10,874,545  

4.500% due 01/20/40 - 11/20/50

    8,450,075       8,477,725  

5.000% due 01/15/40 - 10/20/47

    3,765,018       3,880,068  

5.003% (USD LIBOR + 0.621%)

due 08/20/60 §

    295,301       294,683  

5.500% due 06/15/36

    152,378       159,080  

6.000% due 06/20/35 - 03/20/42

    1,983,569       2,100,374  

6.500% due 10/20/37

    276,240       294,328  
   

 

 

 
      132,858,621  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $833,324,071)

      780,747,174  
   

 

 

 

ASSET-BACKED SECURITIES - 3.0%

 

ACRES Commercial Realty Ltd.
5.909% (USD LIBOR + 1.200%)
due 06/15/36 § ~

    2,380,000       2,314,550  

Arbor Realty Commercial Real Estate Notes Ltd.
6.034% (USD LIBOR + 1.350%)
due 11/15/36 § ~

    3,107,000       3,046,935  

Citigroup Mortgage Loan Trust, Inc.
4.915% (USD LIBOR + 0.070%)
due 05/25/37 §

    145,742       96,171  

College Ave Student Loans LLC

   

3.280% due 12/28/48 ~

    1,358,009       1,243,165  

6.245% (USD LIBOR + 1.400%)

due 12/28/48 § ~

    1,623,597       1,596,708  

Credit Suisse European Mortgage Capital Ltd. (Ireland)
7.702% (USD LIBOR + 2.900%)
due 08/09/24 § ~

    4,011,150       3,937,711  

Credit-Based Asset Servicing & Securitization LLC
5.625% (USD LIBOR + 0.780%)
due 07/25/33 §

    566,734       537,844  

DB Master Finance LLC
2.791% due 11/20/51 ~

    2,320,625       1,880,707  

ECMC Group Student Loan Trust
6.195% (USD LIBOR + 1.350%)
due 07/26/66 § ~

    3,742,406       3,700,952  

Fannie Mae Grantor Trust
2.898% due 06/25/27

    536,384       505,810  

FNA VI LLC
1.350% due 01/10/32 ~

    1,994,491       1,817,201  

Foundation Finance Trust
1.270% due 05/15/41 ~

    1,926,612       1,715,251  

Freddie Mac Structured Pass-Through Certificates
3.089% due 11/25/27

    468,913       441,558  

GoodLeap Sustainable Home Solutions Trust 1.930% due 07/20/48 ~

    1,922,431       1,488,315  

Hildene Community Funding CDO Ltd. (Cayman)
2.600% due 11/01/35 ~

    4,771,678       3,849,716  

Magnolia Finance X DAC (Ireland)
3.980% due 08/13/24

    4,191,055       4,097,385  

MF1 Ltd. (Cayman)
5.910% (SOFR + 1.350%)
due 02/19/37 § ~

    3,655,000       3,560,599  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

18

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

National Collegiate Student Loan Trust
5.205% (USD LIBOR + 0.360%)
due 01/26/32 §

    $ 1,200,000       $ 867,604  

Navient Private Education Refi Loan Trust
1.690% due 05/15/69 ~

    3,286,110       2,996,572  

Oak Street Investment Grade Net Lease Fund
1.850% due 11/20/50 ~

    4,249,739       3,838,805  

Origen Manufactured Housing Contract Trust

   

5.522% due 10/15/37 §

    2,505,900       2,295,883  

6.616% due 04/15/37 §

    1,704,435       1,575,798  

SBA Small Business Investment Cos.
3.548% due 09/10/28

    450,919       430,296  

SMB Private Education Loan Trust
1.390% due 01/15/53 ~

    1,417,102       1,248,108  

SoFi Professional Loan Program Trust
3.340% due 08/25/47 ~

    953,220       925,065  

Stonepeak ABS
2.301% due 02/28/33 ~

    6,622,838       6,121,516  

Structured Asset Investment Loan Trust
5.845% (USD LIBOR + 1.000%)
due 10/25/33 §

    235,186       235,328  

Sunrun Vulcan Issuer LLC
2.460% due 01/30/52 ~

    1,950,892       1,649,483  

Thrust Engine Leasing DAC
4.163% due 07/15/40 ~

    2,219,464       1,844,596  

United States Small Business Administration

   

2.690% due 07/01/44

    1,178,079       1,048,936  

2.980% due 04/01/39

    645,871       603,757  
   

 

 

 

Total Asset-Backed Securities
(Cost $65,866,510)

      61,512,325  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 9.7%

   

U.S. Treasury Bonds - 7.9%

   

1.875% due 11/15/51

    8,375,000       5,706,614  

2.000% due 08/15/51

    10,880,000       7,657,863  

2.250% due 05/15/41

    13,310,000       10,581,710  

2.375% due 02/15/42

    1,860,000       1,496,755  

2.375% due 05/15/51

    16,210,000       12,454,156  

2.875% due 05/15/52

    950,000       813,085  

3.000% due 08/15/52

    8,420,000       7,399,075  

3.250% due 05/15/42

    150,000       138,480  

3.375% due 11/15/48

    10,000       9,360  

3.625% due 08/15/43

    1,020,000       990,914  

3.625% due 02/15/44 ‡

    2,697,000       2,611,138  

4.000% due 11/15/42

    41,740,000       42,887,850  

4.000% due 11/15/52

    67,070,000       71,198,997  
   

 

 

 
      163,945,997  
   

 

 

 

U.S. Treasury Inflation Indexed Bonds - 1.1%

 

 

U.S. Treasury Inflation-Indexed Notes
1.125% due 01/15/33 ^

    23,877,260       23,836,793  
   

 

 

 

U.S. Treasury Notes - 0.7%

   

3.625% due 03/31/30

    12,100,000       12,158,609  

4.000% due 02/29/28

    660,000       671,988  

4.000% due 10/31/29

    1,210,000       1,239,494  

4.125% due 09/30/27

    510,000       519,722  

4.125% due 11/15/32

    6,000       6,306  

4.625% due 03/15/26

    340,000       347,769  
   

 

 

 
      14,943,888  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $214,668,977)

      202,726,678  
   

 

 

 
   

Principal
Amount

   

Value

 

FOREIGN GOVERNMENT BONDS & NOTES - 6.6%

 

Argentine Bonos del Tesoro (Argentina) 16.000% due 10/17/23 W

    ARS 20,030,000       $ 34,872  

Argentine Republic Government (Argentina)

   

0.500% due 07/09/30

    $1,634,820       477,661  

1.000% due 07/09/29

    412,501       116,445  

3.500% due 07/09/41

    4,140,000       1,179,011  

Brazilian Government (Brazil)

   

4.625% due 01/13/28

    580,000       568,335  

4.750% due 01/14/50

    3,780,000       2,805,523  

5.000% due 01/27/45

    4,390,000       3,460,835  

5.625% due 01/07/41

    560,000       496,884  

5.625% due 02/21/47

    3,600,000       3,040,655  

Colombia Government (Colombia)

   

3.250% due 04/22/32

    1,810,000       1,351,394  

4.125% due 02/22/42

    1,850,000       1,203,738  

5.625% due 02/26/44

    2,180,000       1,655,164  

Indonesia Government (Indonesia)

   

4.350% due 01/11/48

    770,000       685,494  

4.750% due 07/18/47 ~

    400,000       376,100  

Indonesia Treasury (Indonesia)

   

6.375% due 04/15/32

    IDR 37,919,000,000       2,477,980  

6.500% due 02/15/31

    254,574,000,000       16,884,447  

7.000% due 05/15/27

    123,765,000,000       8,437,266  

Israel Government International (Israel)
2.750% due 07/03/30

    $1,290,000       1,168,655  

Kenya Government (Kenya)

   

6.300% due 01/23/34 ~

    3,210,000       2,275,087  

7.250% due 02/28/28 ~

    510,000       419,508  

Mexican Bonos (Mexico)

   

7.750% due 11/23/34

    346,790,000       17,762,499  

7.750% due 11/13/42

    660,067,500       31,962,908  

8.000% due 11/07/47

    MXN 346,070,000       17,104,731  

8.500% due 05/31/29

    55,030,000       3,007,625  

10.000% due 12/05/24

    28,960,000       1,596,734  

Mexico Government (Mexico)

   

4.600% due 02/10/48

    $3,370,000       2,759,563  

5.750% due 10/12/10

    1,450,000       1,301,258  

Nigeria Government (Nigeria)

   

6.500% due 11/28/27 ~

    650,000       531,323  

7.143% due 02/23/30 ~

    750,000       573,787  

Panama Government (Panama)

   

2.252% due 09/29/32

    2,630,000       2,022,154  

4.500% due 04/01/56

    1,230,000       918,511  

Paraguay Government (Paraguay)
3.849% due 06/28/33 ~

    790,000       697,967  

Peruvian Government (Peru)

   

2.783% due 01/23/31

    1,600,000       1,369,628  

5.625% due 11/18/50

    950,000       959,838  

Provincia de Buenos Aires (Argentina)
5.250% due 09/01/37 § ~

    4,542,772       1,609,572  

Russian Federal (Russia)

   

6.900% due 05/23/29 * Y

    RUB 107,830,000       83,320  

7.050% due 01/19/28 * Y

    656,291,000       507,115  

7.250% due 05/10/34 * Y

    41,210,000       31,843  

7.650% due 04/10/30 * Y

    754,940,000       583,341  

7.700% due 03/16/39 * Y

    690,870,000       533,834  

8.150% due 02/03/27 * Y

    458,179,000       354,034  

State of Israel (Israel)
3.375% due 01/15/50

    $990,000       760,557  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $191,793,631)

      136,147,196  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

19

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 0.8%

 

 

Repurchase Agreement - 0.8%

 

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $17,063,605; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $17,398,444)

    $ 17,057,280       $ 17,057,280  
   

 

 

 

Total Short-Term Investment
(Cost $17,057,280)

      17,057,280  
   

 

 

 

TOTAL INVESTMENTS - 100.6%
(Cost $2,302,778,878)

 

    2,084,875,679  
   

 

 

 

DERIVATIVES - 1.3%

 

    26,371,544  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (1.9%)

 

    (38,923,133
   

 

 

 

NET ASSETS - 100.0%

 

    $2,072,324,090  
   

 

 

 

Notes to Schedule of Investments

 

(a)

An investment with a value of $34,872 or less than 0.1% of the Fund’s net assets was valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or to the Board of Trustees.

(b)

Investments with a total aggregate value of $2,093,487 or 0.1% of the Fund’s net assets were in default as of March 31, 2023.

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

20

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited

 

 

 

(c)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
     Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

30 Day Federal Funds

     04/23        392        $155,482,016        $155,481,271        ($745

3-Month USD SOFR

     09/23        12        2,896,975        2,853,750        (43,225

3-Month USD SOFR

     12/23        161        38,341,119        38,396,487        55,368  

3-Month USD SOFR

     03/26        238        57,349,402        57,753,675        404,273  

AUD FX

     06/23        665        44,829,883        44,561,650        (268,233

Australia Treasury 10-Year Bonds

     06/23        260        20,670,509        21,357,296        686,787  

EUR FX

     06/23        387        51,413,724        52,745,681        1,331,957  

Euro-Bobl

     06/23        118        14,743,930        15,085,220        341,290  

Euro-OAT

     06/23        112        15,275,457        15,818,255        542,798  

GBP FX

     06/23        96        7,220,518        7,413,000        192,482  

JPY FX

     06/23        472        43,771,780        44,972,750        1,200,970  

Long Gilt

     06/23        137        16,978,889        17,466,470        487,581  

MXN FX

     06/23        1,420        38,425,858        38,815,700        389,842  

U.S. Treasury 30-Year Bonds

     06/23        1,319        168,111,191        172,995,094        4,883,903  

U.S. Treasury 5-Year Notes

     06/23        6,654        716,626,718        728,664,988        12,038,270  

U.S. Treasury Ultra 10-Year Notes

     06/23        401        46,967,819        48,577,391        1,609,572  

U.S. Treasury Ultra Long Bonds

     06/23        1455        198,063,468        205,336,875        7,273,407  
              

 

 

 
                 31,126,297  
              

 

 

 
Short Futures Outstanding                                        

3-Month USD SOFR

     03/24        1,920        459,333,068        459,360,000        (26,932

3-Month USD SOFR

     03/25        816        196,207,674        197,625,000        (1,417,326

CAD FX

     06/23        38        2,759,839        2,811,620        (51,781

Euro-Bund

     04/23        158        21,438,742        21,421,000        17,742  

Euro-Bund

     06/23        107        15,553,822        15,763,076        (209,254

Euro-Buxl

     06/23        70        10,102,763        10,693,386        (590,623

Japan 10-Year Bonds

     06/23        29        31,768,733        32,351,572        (582,839

U.S. Treasury 2-Year Notes

     06/23        2,734        560,629,104        564,442,846        (3,813,742

U.S. Treasury 10-Year Notes

     06/23        5,487        618,293,441        630,576,328        (12,282,887
              

 

 

 
                 (18,957,642
              

 

 

 

Total Futures Contracts

                 $12,168,655  
              

 

 

 

 

(d)

Forward foreign currency contracts outstanding as of March 31, 2023 were as follows:

 

Currency
Purchased
          Currency
Sold
          Settlement
Month
         Counterparty        Unrealized
Appreciation
     Unrealized
Depreciation
 
AUD      23,203,161        USD      16,178,706          04/23       MSC       $-        ($660,769
CAD      78,816,658        USD      59,014,382          04/23       JPM       -        (684,162
CNH      192,689,166        USD      28,406,766          04/23       JPM       -        (340,248
EUR      6,287,000        USD      6,821,213          04/23       BNP       2,331        -  
IDR      33,225,832,572        USD      2,160,749          04/23       JPM       61,482        -  
INR      347,679,333        USD      4,174,323          04/23       JPM       56,046        -  
JPY      2,132,276,206        USD      15,884,296          04/23       GSC       207,297        -  
JPY      306,645,000        USD      2,347,265          04/23       MSC       -        (33,115
MXN      181,601,906        USD      9,623,199          04/23       GSC       426,899        -  
NOK      125,617,894        EUR      11,826,645          04/23       MSC       -        (830,013
USD      17,851,007        CAD      24,179,186          04/23       JPM       -        (43,399
USD      47,038,592        CNH      321,972,108          04/23       JPM       141,114        -  
USD      38,114,284        EUR      35,212,070          04/23       BNP       -        (102,852
USD      13,561,769        GBP      11,103,008          04/23       MSC       -        (138,873
USD      25,346,645        IDR      396,073,015,383          04/23       JPM       -        (1,143,752
USD      14,218,061        JPY      1,883,973,563          04/23       GSC       326        -  
USD      50,335,991        MXN      996,350,602          04/23       GSC       -        (4,803,415
ZAR      57,802,295        USD      3,374,627          04/23       GSC       -        (132,213
                       

 

 

    

 

 

 

Total Forward Foreign Currency Contracts

        $895,495        ($8,912,811
                       

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

21

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited

 

 

 

(e)

Purchased options outstanding as of March 31, 2023 were as follows:

Options on Futures

 

Description    Exercise
Price
     Expiration
Date
   Exchange    Number of
Contracts
     Notional
Amount
     Cost      Value  

Call - U.S. Treasury 5-Year Notes (04/23)

     $109.50      04/07/23    CME      75        $8,212,500        $30,599        $34,570  

Call - U.S. Treasury 6-7-Year Notes (04/23)

     114.75      04/07/23    CME      142        16,294,500        86,152        95,406  

Call - U.S. Treasury Long Bonds (04/23)

     130.00      04/07/23    CME      25        3,250,000        25,949        41,406  

Call - U.S. Treasury Long Bonds (04/23)

     130.50      04/07/23    CME      25        3,262,500        21,262        33,594  

Call - U.S. Treasury 5-Year Notes (05/23)

     109.50      04/21/23    CME      75        8,212,500        55,794        53,321  

Call - U.S. Treasury 5-Year Notes (05/23)

     110.25      04/21/23    CME      49        5,402,250        26,975        22,203  

Call - U.S. Treasury 5-Year Notes (05/23)

     111.00      04/21/23    CME      98        10,878,000        52,388        28,328  

Call - U.S. Treasury 5-Year Notes (05/23)

     112.50      04/21/23    CME      49        5,512,500        34,538        5,742  

Call - U.S. Treasury 10-Year Notes (05/23)

     114.75      04/21/23    CME      16        1,836,000        17,278        16,250  

Call - U.S. Treasury 10-Year Notes (05/23)

     116.75      04/21/23    CME      33        3,852,750        23,526        12,375  

Call - U.S. Treasury 10-Year Notes (05/23)

     119.00      04/21/23    CME      33        3,927,000        26,354        4,125  

Call - U.S. Treasury 30-Year Bonds (05/23)

     130.50      04/21/23    CME      8        1,044,000        14,139        16,250  

Call - U.S. Treasury 30-Year Bonds (05/23)

     134.00      04/21/23    CME      25        3,350,000        26,168        17,969  

Call - U.S. Treasury 30-Year Bonds (05/23)

     137.00      04/21/23    CME      17        2,329,000        17,561        4,781  
                 

 

 

    

 

 

 
     458,683        386,320  
                 

 

 

    

 

 

 

Put - U.S. Treasury 6-7-Year Notes (04/23)

     114.25      04/07/23    CME      74        8,454,500        37,487        21,969  

Put - U.S. Treasury 6-7-Year Notes (04/23)

     114.50      04/07/23    CME      59        6,755,500        40,790        22,125  

Put - U.S. Treasury 10-Year Notes (05/23)

     114.50      04/21/23    CME      17        1,946,500        14,904        12,219  

Put - SOFR Midcurve 1-Year (12/23)

     95.88      12/15/23    CME      416        99,710,000        374,399        179,400  

Put - SOFR Midcurve 1-Year (12/23)

     96.00      12/15/23    CME      973        233,520,000        895,443        498,662  
                 

 

 

    

 

 

 
     1,363,023        734,375  
                 

 

 

    

 

 

 

Total Purchased Options

 

     $1,821,706        $1,120,695  
                 

 

 

    

 

 

 

 

(f)

Premiums received and value of written options outstanding as of March 31, 2023 were as follows:

 

Description    Exercise
Price
     Expiration
Date
   Exchange    Number of
Contracts
     Notional
Amount
     Premium      Value  

Call - GBP FX (04/23)

     $122.00      04/06/23    CME      33        $2,516,250        $30,143        ($33,206

Call - U.S. Treasury 6-7-Year Notes (04/23)

     115.00      04/07/23    CME      156        17,940,000        70,683        (85,312

Call - U.S. Treasury 6-7-Year Notes (04/23)

     115.75      04/07/23    CME      66        7,639,500        14,839        (18,562

Call - U.S. Treasury Long Bonds (04/23)

     131.00      04/07/23    CME      17        2,227,000        10,189        (18,062

Call - U.S. Treasury 5-Year Notes (05/23)

     107.00      04/21/23    CME      170        18,190,000        90,019        (431,641

Call - U.S. Treasury 5-Year Notes (05/23)

     107.50      04/21/23    CME      189        20,317,500        74,978        (392,766

Call - U.S. Treasury 5-Year Notes (05/23)

     109.00      04/21/23    CME      171        18,639,000        138,642        (164,320

Call - U.S. Treasury 5-Year Notes (05/23)

     109.75      04/21/23    CME      115        12,621,250        84,254        (70,977

Call - U.S. Treasury 5-Year Notes (05/23)

     110.00      04/21/23    CME      968        106,480,000        632,927        (514,250

Call - U.S. Treasury 10-Year Notes (05/23)

     114.00      04/21/23    CME      313        35,682,000        169,068        (449,938

Call - U.S. Treasury 10-Year Notes (05/23)

     115.00      04/21/23    CME      191        21,965,000        171,357        (173,094

Call - U.S. Treasury 10-Year Notes (05/23)

     115.50      04/21/23    CME      348        40,194,000        389,773        (244,688

Call - U.S. Treasury 10-Year Notes (05/23)

     116.00      04/21/23    CME      319        37,004,000        296,245        (174,453

Call - U.S. Treasury 10-Year Notes (05/23)

     117.00      04/21/23    CME      58        6,786,000        62,884        (19,031

Call - U.S. Treasury 30-Year Bonds (05/23)

     132.00      04/21/23    CME      8        1,056,000        9,361        (10,625

Call - U.S. Treasury 30-Year Bonds (05/23)

     132.50      04/21/23    CME      8        1,060,000        10,736        (9,125

Call - U.S. Treasury 30-Year Bonds (05/23)

     133.00      04/21/23    CME      25        3,325,000        34,722        (24,609

Call - U.S. Treasury 10-Year Notes (06/23)

     115.00      05/26/23    CME      76        8,740,000        53,900        (109,250
                 

 

 

    

 

 

 
                    2,344,720        (2,943,909
                 

 

 

    

 

 

 

Put - AUD FX (04/23)

     69.00      04/06/23    CME      26        1,794,000        25,675        (52,000

Put - U.S. Treasury 6-7-Year Notes (04/23)

     113.50      04/07/23    CME      86        9,761,000        57,664        (9,406

Put - U.S. Treasury 6-7-Year Notes (04/23)

     114.00      04/07/23    CME      131        14,934,000        49,648        (28,656

Put - U.S. Treasury Long Bonds (04/23)

     130.00      04/07/23    CME      19        2,470,000        18,655        (9,500

Put - U.S. Treasury 5-Year Notes (05/23)

     106.50      04/21/23    CME      390        41,535,000        138,138        (9,141

Put - U.S. Treasury 5-Year Notes (05/23)

     107.00      04/21/23    CME      249        26,643,000        74,663        (9,727

Put - U.S. Treasury 5-Year Notes (05/23)

     107.75      04/21/23    CME      263        28,338,250        105,256        (28,766

Put - U.S. Treasury 5-Year Notes (05/23)

     108.00      04/21/23    CME      66        7,128,000        17,675        (9,797

Put - U.S. Treasury 5-Year Notes (05/23)

     108.50      04/21/23    CME      1,066        115,661,000        432,359        (283,156

Put - U.S. Treasury 5-Year Notes (05/23)

     109.00      04/21/23    CME      492        53,628,000        314,790        (222,938

Put - U.S. Treasury 5-Year Notes (05/23)

     109.25      04/21/23    CME      162        17,698,500        98,446        (92,390

Put - U.S. Treasury 5-Year Notes (05/23)

     110.00      04/21/23    CME      197        21,670,000        120,526        (201,617

Put - U.S. Treasury 10-Year Notes (05/23)

     111.50      04/21/23    CME      3        334,500        1,979        (234

Put - U.S. Treasury 10-Year Notes (05/23)

     112.50      04/21/23    CME      190        21,375,000        113,968        (29,687

Put - U.S. Treasury 10-Year Notes (05/23)

     113.00      04/21/23    CME      246        27,798,000        133,590        (61,500

Put - U.S. Treasury 10-Year Notes (05/23)

     114.00      04/21/23    CME      974        111,036,000        664,206        (502,219

Put - U.S. Treasury 10-Year Notes (05/23)

     115.00      04/21/23    CME      69        7,935,000        48,834        (67,922

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

22

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited

 

 

 

Description    Exercise
Price
     Expiration
Date
     Exchange      Number of
Contracts
     Notional
Amount
     Premium      Value  

Put - U.S. Treasury 10-Year Notes (05/23)

     $117.00        04/21/23        CME        98        $11,466,000        $151,424        ($235,813

Put - U.S. Treasury 30-Year Bonds (05/23)

     129.00        04/21/23        CME        33        4,257,000        47,130        (26,297

Put - U.S. Treasury 30-Year Bonds (05/23)

     130.00        04/21/23        CME        100        13,000,000        163,264        (115,625

Put - SOFR Midcurve 1-Year (12/23)

     95.25        12/15/23        CME        832        198,120,000        331,053        (150,800

Put - SOFR Midcurve 1-Year (12/23)

     95.38        12/15/23        CME        1,946        463,999,375       
812,326
 
     (413,525
                 

 

 

    

 

 

 
                    3,921,269        (2,560,716
                 

 

 

    

 

 

 

Total Written Options

                    $6,265,989        ($5,504,625
                 

 

 

    

 

 

 

 

(g)

Swap agreements outstanding as of March 31, 2023 were as follows:

Credit Default Swaps on Corporate Issues – Sell Protection (1)

 

Referenced Obligation   Payment
Frequency
   Fixed Deal
Receive
Rate
     Expiration
Date
     Exchange     

Implied

Credit
Spread at
03/31/23 (2)

     Notional
Amount (3)
    Value     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 

Apache Corp.

  Q      1.000%        06/20/26        ICE        1.334%        $3,337,000       ($31,997     ($165,771     $133,774  

Apache Corp.

  Q      1.000%        12/20/26        ICE        1.523%        8,446,000       (146,602     (247,245     100,643  
                  

 

 

   

 

 

   

 

 

 
                     ($178,599     ($413,016     $234,417  
                  

 

 

   

 

 

   

 

 

 

Credit Default Swaps on Credit Indices – Buy Protection (4)

 

Referenced Obligation            Payment
Frequency
   Fixed Deal
Pay
Rate
     Expiration
Date
     Exchange    Notional
Amount (3)
    Value (5)     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 

CDX HY40 5Y

      Q      5.000%        06/20/28      ICE      $27,410,600       ($423,666     $83,094       ($506,760
                   

 

 

   

 

 

   

 

 

 

Credit Default Swaps on Credit Indices – Sell Protection (1)

 

Referenced Obligation          Payment
Frequency
    Fixed Deal
Receive
Rate
    Expiration
Date
    Exchange     Notional
Amount (3)
    Value (5)     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 

CDX IG40 5Y

      Q       1.000%       06/20/28       ICE       $330,028,000       $3,778,978       $2,634,079       $1,144,899  
             

 

 

   

 

 

   

 

 

 

Total Credit Default Swaps

                $3,176,713       $2,304,157       $872,556  
             

 

 

   

 

 

   

 

 

 

 

  (1)

If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying investments comprising the referenced index or (ii) pay a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index.

  (2)

An implied credit spread is the spread in yield between a U.S. Treasury security and the referenced obligation or underlying investment that are identical in all respects except for the quality rating. Implied credit spreads, represented in the absolute terms, utilized in determining the value of credit default swaps on corporate issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood of risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter the agreement. Wider credit spreads, in comparison to narrower credit spreads, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement.

  (3)

The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

  (4)

If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying investments comprising the referenced index or (ii) receive a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index.

  (5)

The quoted market prices and resulting values for credit default swap agreements on credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative had the notional amount of the swap agreement been closed/sold as of period end. Increasing values (buy protection) or decreasing values (sell protection), when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement.

Interest Rate Swaps – Long

 

Receive   Pay   Payment
Frequency
Receive Rate/
Pay Rate
  Exchange   Expiration
Date
    Notional
Amount
    Value     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 
7.450%   28-Day MXN TIIE   L/L   CME     07/18/29       MXN 331,270,000       ($936,985     $231,686       ($1,168,671
7.440%   28-Day MXN TIIE   L/L   CME     07/20/29       594,730,000       (1,692,471     303,481       (1,995,952
3.400%   1-Day U.S. SOFR   A/A   CME     12/31/29       $34,337,000       423,504       69,092       354,412  
3.250%   1-Day U.S. SOFR   A/A   CME     12/31/29       52,478,000       193,766       (312,677     506,443  
           

 

 

   

 

 

   

 

 

 
              ($2,012,186     $291,582       ($2,303,768
           

 

 

   

 

 

   

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

23

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited

 

 

 

Interest Rate Swaps – Short

 

Pay   Receive   Payment
Frequency
Pay Rate/
Receive Rate
    Exchange     Expiration
Date
    Notional
Amount
    Value     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 
1.220%   1-Day U.S. SOFR     A/A       CME       08/15/28       $34,412,000       $4,121,553       ($2,220     $4,123,773  
1.130%   1-Day U.S. SOFR     A/A       CME       08/15/28       26,145,000       3,260,650       120,805       3,139,845  
2.850%   1-Day U.S. SOFR     A/A       CME       02/15/29       27,350,000       729,547       76,992       652,555  
3.270%   1-Day U.S. SOFR     A/A       CME       04/30/29       57,973,000       398,854       (416,157     815,011  
3.850%   1-Day U.S. SOFR     A/A       CME       06/30/29       51,410,000       (1,481,534     41,575       (1,523,109
2.000%   1-Day U.S. SOFR     A/A       CME       03/18/32       16,189,000       1,523,393       131,224       1,392,169  
0.641%   1-Day JPY-TONAR     S/S       CME       05/09/46       JPY 2,649,800,000       1,594,716       3,542       1,591,174  
1.520%   1-Day U.S. SOFR     A/A       CME       02/15/47       $16,888,000       4,476,542       (10,812     4,487,354  
1.729%   1-Day U.S. SOFR     A/A       CME       02/15/47       10,330,000       2,373,682       255,989       2,117,693  
1.630%   1-Day U.S. SOFR     A/A       CME       05/15/47       10,060,000       2,574,092       406,526       2,167,566  
1.650%   1-Day U.S. SOFR     A/A       CME       08/15/47       4,402,000       1,117,576       442,539       675,037  
2.510%   1-Day U.S. SOFR     A/A       CME       02/15/48       10,389,000       1,014,261       68,167       946,094  
2.620%   1-Day U.S. SOFR     A/A       CME       02/15/48       11,765,000       924,642       (7,178     931,820  
3.050%   1-Day U.S. SOFR     A/A       CME       02/15/48       12,094,000       51,110       372,814       (321,704
3.150%   1-Day U.S. SOFR     A/A       CME       05/15/48       20,787,000       (331,457     (6,691,057     6,359,600  
2.500%   1-Day U.S. SOFR     A/A       CME       04/21/52       5,275,000       500,805       20,336       480,469  
           

 

 

   

 

 

   

 

 

 
              $22,848,432       ($5,186,915     $28,035,347  
           

 

 

   

 

 

   

 

 

 

Total Interest Rate Swaps

            $20,836,246       ($4,895,333     $25,731,579  
           

 

 

   

 

 

   

 

 

 

Total Swap Agreements

            $24,012,959       ($2,591,176     $26,604,135  
           

 

 

   

 

 

   

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

24

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited

 

 

 

(h)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $822,016,902        $-        $822,016,902        $-  
 

Senior Loan Notes

     64,668,124        -        63,141,247        1,526,877  
 

Mortgage-Backed Securities

     780,747,174        -        780,747,174        -  
 

Asset-Backed Securities

     61,512,325        -        61,512,325        -  
 

U.S. Treasury Obligations

     202,726,678        -        202,726,678        -  
 

Foreign Government Bonds & Notes

     136,147,196        -        136,147,196        -  
 

Short-Term Investment

     17,057,280        -        17,057,280        -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     1,379,316        -        1,379,316        -  
 

Foreign Currency Contracts

              -  
 

Futures

     3,115,251        3,115,251        -        -  
 

Forward Foreign Currency Contracts

     895,495        -        895,495        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Foreign Currency Contracts

     4,010,746        3,115,251        895,495        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Interest Rate Contracts

           
 

Futures

     28,340,991        28,340,991        -        -  
 

Purchased Options

     1,120,695        -        1,120,695        -  
 

Swaps

     30,741,015        -        30,741,015        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     60,202,701        28,340,991        31,861,710        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset - Derivatives

     65,592,763        31,456,242        34,136,521        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     2,150,468,442        31,456,242        2,117,485,323        1,526,877  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Due to Custodian

     (5,365,345      -        (5,365,345      -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     (506,760      -        (506,760      -  
 

Foreign Currency Contracts

           
 

Futures

     (320,014      (320,014      -        -  
 

Forward Foreign Currency Contracts

     (8,912,811      -        (8,912,811      -  
 

Written Options

     (85,206      -        (85,206      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Foreign Currency Contracts

     (9,318,031      (320,014      (8,998,017      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Interest Rate Contracts

           
 

Futures

     (18,967,573      (18,967,573      -        -  
 

Written Options

     (5,419,419      -        (5,419,419      -  
 

Swaps

     (5,009,436      -        (5,009,436      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     (29,396,428      (18,967,573      (10,428,855      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities - Derivatives

     (39,221,219      (19,287,587      (19,933,632      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (44,586,564      (19,287,587      (25,298,977      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $2,105,881,878        $12,168,655        $2,092,186,346        $1,526,877  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

25

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

EXCHANGE-TRADED FUNDS - 3.2%

   

Invesco Senior Loan ETF

    245,340       $5,103,072  

SPDR Bloomberg Short Term High Yield Bond

    206,570       5,131,199  
   

 

 

 
      10,234,271  
   

 

 

 

Total Exchange-Traded Funds
(Cost $10,008,770)

      10,234,271  
   

 

 

 
   

Principal
Amount

       

CORPORATE BONDS & NOTES - 9.8%

   

Consumer, Cyclical - 2.9%

   

American Airlines, Inc.
11.750% due 07/15/25 ~

    $4,000,000       4,380,200  

Carnival Corp.
9.875% due 08/01/27 ~

    1,500,000       1,546,530  

Merlin Entertainments Ltd. (United Kingdom)
5.750% due 06/15/26 ~

    3,287,000       3,121,501  
   

 

 

 
      9,048,231  
   

 

 

 

Consumer, Non-Cyclical - 1.7%

   

Allied Universal Holdco LLC/Allied Universal Finance Corp.
6.625% due 07/15/26 ~

    2,000,000       1,924,000  

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL
4.625% due 06/01/28 ~

    3,000,000       2,521,405  

CoreLogic, Inc.
4.500% due 05/01/28 ~

    1,250,000       949,606  
   

 

 

 
      5,395,011  
   

 

 

 

Financial - 5.0%

   

Acrisure LLC/Acrisure Finance, Inc.
7.000% due 11/15/25 ~

    2,000,000       1,876,390  

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer
6.750% due 04/15/28 ~

    2,000,000       1,979,560  

AssuredPartners, Inc.
7.000% due 08/15/25 ~

    7,450,000       7,255,928  

HUB International Ltd.
7.000% due 05/01/26 ~

    2,750,000       2,705,389  

Ryan Specialty Group LLC
4.375% due 02/01/30 ~

    2,250,000       1,970,162  
   

 

 

 
      15,787,429  
   

 

 

 

Technology - 0.2%

   

Central Parent, Inc./CDK Global, Inc.
7.250% due 06/15/29 ~

    500,000       491,889  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $32,119,613)

      30,722,560  
   

 

 

 

SENIOR LOAN NOTES - 84.3%

   

Basic Materials - 2.9%

   

Diamond BV Term B
7.575% (USD LIBOR + 2.750%)
due 09/29/28 § µ

    2,992,424       2,984,009  

Lonza Group AG Term B
9.159% (USD LIBOR + 4.000%)
due 07/03/28 §

    1,915,601       1,783,105  

PMHC II, Inc. Term B
9.076% (SOFR + 4.250%)
due 04/23/29 §

    1,877,782       1,666,531  
   

Principal
Amount

   

Value

 

Starfruit Finco BV Term B
7.526% (USD LIBOR + 2.750%)
due 10/01/25 § µ

    $ 1,993,218       $ 1,981,295  

Vantage Specialty Chemicals, Inc. Term B
9.857% (SOFR + 4.750%)
due 10/26/26 §

    748,125       722,253  
   

 

 

 
      9,137,193  
   

 

 

 

Communications - 5.7%

   

Arches Buyer, Inc. Term B
8.157% (SOFR + 3.250%)
due 12/06/27 § µ

    3,619,524       3,423,845  

CNT Holdings I Corp. (2nd Lien)
11.375% (USD LIBOR + 6.750%)
due 11/06/28 § ±

    6,620,000       6,272,450  

Hunter Holdco 3 Ltd. Term B
9.409% (USD LIBOR + 4.250%)
due 08/19/28 §

    935,469       920,267  

MH Sub I LLC
(1st Lien)
8.590% (USD LIBOR + 3.750%)
due 09/13/24 § µ

    3,490,802       3,438,153  

Pug LLC Term B
8.340% (USD LIBOR + 3.500%)
due 02/12/27 §

    4,143,050       3,024,426  

PUG LLC Term B
9.090% (USD LIBOR + 4.250%)
due 02/12/27 §

    806,392       593,706  

Xplornet Communications, Inc. (2nd Lien) (Canada)
11.840% (USD LIBOR + 7.000%)
due 10/01/29 § ±

    500,000       325,000  
   

 

 

 
      17,997,847  
   

 

 

 

Consumer, Cyclical - 10.4%

   

BCPE Empire Holdings, Inc.

   

8.840% (USD LIBOR + 4.000%)

due 06/11/26 §

    1,231,289       1,209,742  

9.532% (SOFR + 4.625%)

due 06/11/26 §

    294,244       291,596  

Term B

8.840% (USD LIBOR + 4.000%)

due 06/11/26 §

    1,734,067       1,705,348  

Caesars Entertainment Corp. Term B
8.157% (SOFR + 3.250%)
due 02/06/30 § µ

    2,500,000       2,490,625  

Carnival Corp.

   

Term B

7.840% (USD LIBOR + 3.000%)

due 06/30/25 §

    3,872,846       3,830,244  

8.090% (USD LIBOR + 3.250%)

due 10/18/28 §

    1,835,354       1,797,499  

ClubCorp Holdings, Inc. Term B
7.590% (USD LIBOR + 2.750%)
due 09/18/24 §

    8,532,864       8,178,221  

Fertitta Entertainment LLC Term B
8.807% (SOFR + 4.000%)
due 01/27/29 § µ

    3,459,898       3,413,404  

SeaWorld Parks & Entertainment, Inc. Term B
7.875% (USD LIBOR + 3.000%)
due 08/25/28 § µ

    1,994,937       1,989,949  

Solis IV BV Term B1 (Netherlands)
8.373% (SOFR + 3.500%)
due 02/26/29 § µ

    2,113,676       1,911,292  

Springs Windows Fashions LLC Term B
8.752% (USD LIBOR + 4.000%)
due 10/06/28 § µ

    1,702,576       1,445,061  

SRS Distribution, Inc. Term B
8.340% (USD LIBOR + 3.500%)
due 06/02/28 § µ

    4,853,520       4,689,714  
   

 

 

 
      32,952,695  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

26

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Consumer, Non - Cyclical - 18.1%

   

Allied Universal Holdco LLC/Allied Universal Finance Corp. Term B
8.657% (SOFR + 3.750%)
due 05/12/28 §

    $ 2,541,964       $ 2,416,454  

CoreLogic, Inc.

   

(2nd Lien)

11.375% (USD LIBOR + 6.500%)

due 06/04/29 §

    4,000,000       2,987,500  

Term B

8.375% (USD LIBOR + 3.500%)

due 06/02/28 §

    422,627       361,611  

Da Vinci Purchaser Corp. Term B
8.953% (USD LIBOR + 4.000%)
due 01/08/27 §

    1       1  

Gainwell Acquisition Corp. Term B
8.998% (SOFR + 4.000%)
due 10/01/27 § µ

    3,209,369       3,058,930  

Heartland Dental LLC (1st Lien)
8.590% (USD LIBOR + 3.750%)
due 04/30/25 §

    1,727,437       1,618,751  

Mavis Tire Express Services Corp. Term B
8.922% (SOFR + 4.000%)
due 05/04/28 §

    3,267,549       3,211,900  

Midwest Veterinary Partners LLC
8.840% (USD LIBOR + 4.000%)
due 04/27/28 §

    6,628,569       6,142,476  

Packaging Coordinators Midco, Inc. (1st Lien)
8.659% (USD LIBOR + 3.500%)
due 11/30/27 §

    2,170,637       2,127,767  

Pathway Vet Alliance LLC Term B
8.590% (USD LIBOR + 3.750%)
due 03/31/27 §

    8,050,611       7,091,727  

PECF USS Intermediate Holding III Corp. Term B
9.090% (USD LIBOR + 4.250%)
due 12/15/28 §

    1,234,375       1,044,590  

PetVet Care Centers LLC Term B3

   

(2nd Lien)

11.090% (USD LIBOR + 6.250%)

due 02/13/26 §

    5,000,000       4,483,335  

Term B

8.090% (USD LIBOR + 3.250%)

due 02/14/25 §

    1,353,043       1,304,417  

Term B3

8.340% (USD LIBOR + 3.500%)

due 02/14/25 §

    3,491,193       3,393,003  

Spin Holdco, Inc. Term B
8.986% (USD LIBOR + 4.000%)
due 03/04/28 §

    3,143,396       2,654,205  

Sunshine Luxembourg VII SARL Term B3 (Luxembourg)
8.909% (USD LIBOR + 3.750%)
due 10/01/26 § µ

    6,714,960       6,659,199  

Team Health Holdings, Inc. Term B
10.057% (SOFR + 5.250%)
due 03/02/27 §

    3,998,816       2,792,505  

Verscend Holding Corp. Term B
8.840% (USD LIBOR + 4.000%)
due 08/27/25 § µ

    5,984,772       5,987,016  
   

 

 

 
      57,335,387  
   

 

 

 

Financial - 11.1%

   

Acrisure LLC Term B
9.090% (USD LIBOR + 4.250%)
due 02/15/27 § µ

    5,674,965       5,578,020  
   

Principal
Amount

   

Value

 

Apex Group Treasury LLC

   

Term B

8.556% (USD LIBOR + 3.750%)

due 07/27/28 § µ

    $ 3,989,873       $ 3,880,152  

9.658% (SOFR + 5.000%)

due 07/27/28 § µ

    2,500       2,494  

AssuredPartners, Inc. Term B
8.340% (USD LIBOR + 3.500%)
due 02/12/27 §

    3,352,254       3,324,969  

Deerfield Dakota Holding LLC (2nd Lien)
11.909% (USD LIBOR + 6.750%)
due 04/07/28 §

    10,460,000       9,682,038  

HUB International Ltd.

   

Term B

7.818% (USD LIBOR + 3.000%)

due 04/25/25 § µ

    5,984,293       5,974,431  

8.692% (SOFR + 4.000%)

due 11/10/29 § µ

    845,344       844,522  

Term B3

8.058% (USD LIBOR + 3.250%)

due 04/25/25 §

    1,994,898       1,993,340  

Hyperion Refinance Sarl Term B (United Kingdom)
8.806% (SOFR+4.000%)
due 03/24/30 § ±

    750,000       746,250  

USI, Inc. Term B
8.648% (SOFR + 3.750%)
due 11/22/29 § µ

    3,241,855       3,237,802  
   

 

 

 
      35,264,018  
   

 

 

 

Industrial – 16.0%

   

ASP LS Acquisition Corp
9.659% (USD LIBOR + 4.500%)
due 05/07/28 § µ

    2,575,887       2,224,922  

Charter NEX US, Inc.
8.672% (SOFR + 3.750%)
due 12/01/27 §

    3,000,000       2,968,125  

Crosby US Acquisition Corp.
9.751% (SOFR + 5.000%)
due 06/27/26 § ±

    500,000       485,000  

Term B

9.601% (SOFR + 4.750%)

due 06/26/26 § µ

    748,057       725,148  

Dynasty Acquisition Co., Inc.

   

Term B1

8.407% (SOFR + 3.500%)

due 04/06/26 § µ

    2,594,677       2,543,964  

Term B2

8.407% (SOFR + 3.500%)

due 04/06/26 § µ

    1,394,987       1,367,722  

Engineered Components & Systems LLC Term B
10.709% (USD LIBOR + 6.000%)
due 08/02/28 § ±

    578,535       535,145  

Filtration Group Corp. (1st Lien)
7.840% (USD LIBOR + 3.000%)
due 03/29/25 § µ

    1,994,537       1,992,044  

Flynn Canada Term B (Canada)
9.375% (USD LIBOR + 4.500%)
due 07/31/28 § ±

    633,343       595,343  

KKR Apple Bidco LLC
7.590% (USD LIBOR + 2.750%)
due 09/23/28 §

    997,475       988,902  

LABL, Inc. (1st Lien)
9.840% (USD LIBOR + 5.000%)
due 10/29/28 § µ

    3,783,350       3,669,589  

LTI Holdings, Inc. (1st Lien)
8.340% (USD LIBOR + 3.500%)
due 09/06/25 § µ

    3,161,707       3,055,986  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

27

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Pretium PKG Holdings, Inc.

   

(1st Lien)

7.743% (USD LIBOR + 4.000%)

due 10/02/28 §

    $ 1,341,604       $ 1,065,138  

(2nd Lien)

11.538% (USD LIBOR + 6.750%)

due 10/01/29 §

    1,250,000       802,735  

Pro Mach Group, Inc. Term B
8.840% (USD LIBOR + 4.000%)
due 08/31/28 §

    1,689,829       1,684,549  

Proampac PG Borrower LLC Term B
7.829% (USD LIBOR + 3.750%)
due 11/03/25 § µ

    3,987,418       3,917,638  

Roper Industrial Products Investment Co. LLC
8.927% (SOFR + 4.500%)
due 11/22/29 §

    4,500,000       4,473,000  

SPX FLOW, Inc. Term B
7.634% (SOFR + 4.500%)
due 04/05/29 §

    4,426,671       4,244,071  

Star US Bidco LLC Term B
9.090% (USD LIBOR + 4.250%)
due 03/17/27 §

    2,674,913       2,599,681  

Titan Acquisition Ltd. Term B (Canada)
8.151% (USD LIBOR + 3.000%)
due 03/28/25 § µ

    1,496,063       1,422,819  

TransDigm, Inc.

   

Term H

8.148% (SOFR + 3.250%)

due 02/22/27 § µ

    6,241,902       6,255,947  

Term I

7.825% (SOFR + 3.250%)

due 08/24/28 § µ

    2,000,000       1,997,362  

WP CPP Holdings LLC Term B
8.575% (USD LIBOR + 3.750%)
due 04/30/25 §

    1,175,103       1,076,100  
   

 

 

 
      50,690,930  
   

 

 

 

Technology - 20.1%

   

Applied Systems, Inc.

   

(1st Lien)

9.398% (SOFR + 4.500%)

due 09/18/26 §

    2,866,075       2,865,479  

(2nd Lien)

11.648% (SOFR + 6.750%)

due 09/17/27 §

    3,653,223       3,666,922  

AthenaHealth Group, Inc.

   

Term B

8.160% (SOFR + 3.500%)

due 02/15/29 § f

    109,162       101,794  

8.259% (SOFR + 3.500%)

due 02/15/29 § µ

    888,599       828,619  

Azalea Topco Inc. Term B
8.340% (USD LIBOR + 3.500%)
due 07/24/26 § µ

    249,354       233,665  

Central Parent Inc. Term B
9.148% (SOFR + 4.250%)
due 07/06/29 § µ

    1,496,250       1,494,513  

Epicor Software Corp. (2nd Lien)
12.590% (USD LIBOR + 7.750%)
due 07/31/28 §

    10,002,673       9,977,667  

Finastra USA, Inc. (1st Lien)
8.325% (USD LIBOR + 3.500%)
due 06/13/24 §

    4,796,325       4,513,543  

Peraton Corp

   

(2nd Lien)

12.651% (USD LIBOR + 7.750%)

due 02/01/29 §

    1,241,617       1,207,472  

Term B

8.590% (USD LIBOR + 3.750%)

due 02/01/28 §

    2,198,387       2,172,556  
   

Principal
Amount

   

Value

 

Polaris Newco LLC Term B
9.159% (USD LIBOR + 4.000%)
due 06/02/28 §

    $ 5,862,122       $ 5,360,910  

RealPage, Inc. (2nd Lien)
11.340% (USD LIBOR + 6.500%)
due 04/23/29 §

    13,575,549       12,854,348  

Sophia LP (2nd Lien)
13.159% (USD LIBOR + 8.000%)
due 10/09/28 §

    4,750,000       4,732,188  

Sovos Compliance LLC Term B
9.340% (USD LIBOR + 4.500%)
due 08/11/28 §

    5,383,223       5,107,332  

Tempo Acquisition LLC Term B
7.807% (SOFR + 3.000%)
due 08/31/28 § µ

    2,992,424       2,992,798  

UKG, Inc.

   

8.271% (USD LIBOR + 3.250%)

due 05/04/26 § µ

    2,817,669       2,749,239  

Term B

8.575% (USD LIBOR + 3.750%)

due 05/04/26 § µ

    1,465,650       1,430,841  

Ultimate Software Group, Inc. (2nd Lien)
10.473% (USD LIBOR + 5.250%)
due 05/03/27 §

    1,750,000       1,688,750  
   

 

 

 
      63,978,636  
   

 

 

 

Total Senior Loan Notes
(Cost $276,077,613)

      267,356,706  
   

 

 

 

SHORT-TERM INVESTMENT - 6.2%

   

Repurchase Agreement - 6.2%

   

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $19,756,675; collateralized by U.S. Treasury Notes: 2.875% due 06/15/2025 and value $20,144,397)

    19,749,351       19,749,351  
   

 

 

 

Total Short-Term Investment
(Cost $19,749,351)

      19,749,351  
   

 

 

 

TOTAL INVESTMENTS - 103.5%
(Cost $337,955,347)

 

    328,062,888  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (3.5%)

 

    (10,950,681
   

 

 

 

NET ASSETS - 100.0%

      $317,112,207  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

28

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
       Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Exchange-Traded Funds

     $10,234,271          $10,234,271        $-        $-  
 

Corporate Bonds & Notes

     30,722,560          -        30,722,560        -  
 

Senior Loan Notes

     267,356,706          -        258,397,518        8,959,188  
 

Short-Term Investment

     19,749,351          -        19,749,351        -  
    

 

 

      

 

 

    

 

 

    

 

 

 
 

Total

     $328,062,888          $10,234,271        $308,869,429        $8,959,188  
    

 

 

      

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

29

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

The following is a reconciliation of investments for significant unobservable inputs (Level 3) used in valuing the Fund’s assets and liabilities for the period ended March 31, 2023:

 

    

Senior Loan

Notes

 

Value, Beginning of Period

    $33,014,103  

Purchases

    1,150,000  

Sales (Includes Paydowns)

    (24,384,999

Accrued Discounts (Premiums)

    24,174  

Net Realized Gains (Losses)

    (614,527

Change in Net Unrealized Appreciation (Depreciation)

    1,154,437  

Transfers In

    6,272,450  

Transfers Out

    (7,656,450
 

 

 

 

Value, End of Period

    $8,959,188  
 

 

 

 

Change in Net Unrealized Appreciation (Depreciation) on Level 3 Investments Held at the End of Period, if Applicable

    $216,159  
 

 

 

 

            

 

 

The table below shows transfers to/from Level 3:

 

Amount          Level Transfer         

Change in Fair Valuation Measurement Inputs

Transferred      From      To      From    To

 

 

  $6,272,450        2        3     

Vendor Price (Observable Inputs)

  

Unobservable Single Broker Quote

  7,656,450        3        2     

Unobservable Single Broker Quote

  

Vendor Price (Observable Inputs)

All other significant unobservable inputs used to value Senior Loan Notes with the aggregate value of $8,959,188 were provided by a single broker quote. Significant changes to a single broker quote would have direct and proportional changes to the fair value of the security.

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

30

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 0.0%

 

Industrial - 0.0%

 

TNT Crane & Rigging, Inc. *

    11,518       $92,144  
   

 

 

 

Total Common Stocks
(Cost $4,391,414)

 

    92,144  
   

 

 

 
   

Principal
Amount

       

CORPORATE BONDS & NOTES - 87.0%

   

Basic Materials - 5.5%

   

Constellium SE

   

5.625% due 06/15/28 ~

    $1,250,000       1,181,545  

5.875% due 02/15/26 ~

    292,000       292,584  

Hecla Mining Co.
7.250% due 02/15/28

    6,550,000       6,623,393  

Herens Holdco SARL (Luxembourg)
4.750% due 05/15/28 ~

    5,975,000       4,816,238  

INEOS Quattro Finance 2 PLC (United Kingdom)
3.375% due 01/15/26 ~

    4,600,000       4,174,136  

JW Aluminum Continuous Cast Co.
10.250% due 06/01/26 ~

    1,250,000       1,257,994  

Novelis Corp.

   

3.875% due 08/15/31 ~

    2,925,000       2,467,881  

4.750% due 01/30/30 ~

    4,333,000       3,986,360  

Perenti Finance Pty Ltd. (Australia)
6.500% due 10/07/25 ~

    3,550,000       3,447,938  

South32 Treasury Ltd. (Australia)
4.350% due 04/14/32 ~

    4,500,000       4,016,606  

SPCM SA (France)
3.375% due 03/15/30 ~

    5,250,000       4,336,950  

TMS International Corp.
6.250% due 04/15/29 ~

    6,925,000       5,347,010  
   

 

 

 
    41,948,635  
   

 

 

 

Communications - 12.2%

   

CCO Holdings LLC/CCO Holdings Capital Corp.

 

4.250% due 02/01/31 ~

    1,850,000       1,514,836  

4.250% due 01/15/34 ~

    1,450,000       1,135,618  

4.750% due 03/01/30 ~

    8,400,000       7,287,000  

5.000% due 02/01/28 ~

    675,000       623,508  

5.375% due 06/01/29 ~

    11,700,000       10,756,161  

6.375% due 09/01/29 ~

    2,225,000       2,126,878  

Ciena Corp.
4.000% due 01/31/30 ~

    4,200,000       3,657,780  

Clear Channel Outdoor Holdings, Inc.

   

5.125% due 08/15/27 ~

    4,450,000       3,998,503  

7.750% due 04/15/28 ~

    275,000       206,498  

Cogent Communications Group, Inc.
7.000% due 06/15/27 ~

    2,675,000       2,654,670  

CommScope Technologies LLC
6.000% due 06/15/25 ~

    5,521,000       5,204,845  

CommScope, Inc.

   

4.750% due 09/01/29 ~

    1,025,000       855,363  

8.250% due 03/01/27 ~

    700,000       574,000  

CSC Holdings LLC

   

3.375% due 02/15/31 ~

    3,300,000       2,285,910  

4.625% due 12/01/30 ~

    2,400,000       1,185,720  

5.250% due 06/01/24

    1,100,000       1,062,754  

5.375% due 02/01/28 ~

    650,000       533,134  

5.750% due 01/15/30 ~

    2,300,000       1,213,250  

6.500% due 02/01/29 ~

    6,550,000       5,445,785  

7.500% due 04/01/28 ~

    625,000       399,000  
   

Principal
Amount

   

Value

 

DISH Network Corp.
11.750% due 11/15/27 ~

    $ 8,425,000       $ 8,181,138  

Frontier Communications Holdings LLC

   

5.000% due 05/01/28 ~

    2,250,000       1,954,980  

5.875% due 10/15/27 ~

    1,175,000       1,069,250  

8.625% due 03/15/31 ~

    2,400,000       2,352,684  

Level 3 Financing, Inc.

   

3.625% due 01/15/29 ~

    1,925,000       1,066,373  

3.750% due 07/15/29 ~

    575,000       307,320  

4.625% due 09/15/27 ~

    6,650,000       4,004,297  

10.500% due 05/15/30

    577,500       552,234  

Lumen Technologies, Inc.
4.000% due 02/15/27 ~

    4,000,000       2,643,660  

Outfront Media Capital LLC/Outfront Media Capital Corp.

 

4.250% due 01/15/29 ~

    1,250,000       1,038,906  

5.000% due 08/15/27 ~

    4,725,000       4,261,666  

Sirius XM Radio, Inc.
3.875% due 09/01/31 ~

    2,425,000       1,887,826  

Sprint Capital Corp.
8.750% due 03/15/32

    3,500,000       4,264,960  

Uber Technologies, Inc.
8.000% due 11/01/26 ~

    6,075,000       6,234,165  
   

 

 

 
    92,540,672  
   

 

 

 

Consumer, Cyclical - 17.8%

   

American Airlines Pass-Through Trust Class B

 

3.950% due 07/11/30

    1,400,985       1,232,904  

5.250% due 01/15/24

    2,314,858       2,267,493  

American Airlines, Inc./AAdvantage Loyalty IP Ltd.
5.750% due 04/20/29 ~

    3,170,000       3,044,154  

Aramark Services, Inc.
6.375% due 05/01/25 ~

    5,935,000       5,984,023  

Boyd Gaming Corp.
4.750% due 06/15/31 ~

    6,363,000       5,784,603  

Caesars Entertainment, Inc.
8.125% due 07/01/27 ~

    6,275,000       6,406,147  

Cedar Fair LP
5.250% due 07/15/29

    6,250,000       5,833,719  

Cedar Fair LP/Canada’s Wonderland Co./Magnum Management Corp./ Millennium Op
6.500% due 10/01/28

    1,775,000       1,724,164  

Clarios Global LP/Clarios US Finance Co.

   

6.250% due 05/15/26 ~

    1,350,000       1,348,157  

8.500% due 05/15/27 ~

    1,175,000       1,181,609  

Empire Resorts, Inc.
7.750% due 11/01/26 ~

    1,100,000       911,379  

Fertitta Entertainment LLC/Fertitta Entertainment
Finance Co., Inc.

 

4.625% due 01/15/29 ~

    2,450,000       2,153,183  

6.750% due 01/15/30 ~

    3,650,000       3,006,250  

Ford Motor Co.

   

3.250% due 02/12/32

    11,400,000       8,975,979  

4.750% due 01/15/43

    2,500,000       1,920,550  

6.100% due 08/19/32

    1,625,000       1,576,999  

Ford Motor Credit Co. LLC

   

3.375% due 11/13/25

    600,000       563,169  

4.950% due 05/28/27

    1,200,000       1,146,360  

Foundation Building Materials, Inc.
6.000% due 03/01/29 ~

    4,400,000       3,493,325  

Hilton Grand Vacations Borrower Escrow LLC/Hilton
Grand Vacations Borrower Esc

 

4.875% due 07/01/31 ~

    3,675,000       3,141,794  

5.000% due 06/01/29 ~

    2,775,000       2,467,711  

Jacobs Entertainment, Inc.
6.750% due 02/15/29 ~

    4,950,000       4,329,322  

Las Vegas Sands Corp.
3.900% due 08/08/29

    4,950,000       4,472,969  

LBM Acquisition LLC
6.250% due 01/15/29 ~

    3,825,000       2,931,845  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

31

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

LGI Homes, Inc.
4.000% due 07/15/29 ~

    $ 6,550,000       $ 5,328,360  

MajorDrive Holdings IV LLC
6.375% due 06/01/29 ~

    6,918,000       5,131,491  

Marriott Ownership Resorts, Inc.

   

4.500% due 06/15/29 ~

    2,350,000       2,002,976  

4.750% due 01/15/28

    4,450,000       3,982,261  

Midwest Gaming Borrower LLC/Midwest
Gaming Finance Corp.
4.875% due 05/01/29 ~

    5,250,000       4,570,013  

New Red Finance, Inc. (Canada)

   

3.500% due 02/15/29 ~

    2,700,000       2,419,983  

3.875% due 01/15/28 ~

    900,000       837,873  

4.000% due 10/15/30 ~

    8,150,000       6,995,960  

4.375% due 01/15/28 ~

    2,700,000       2,495,232  

NMG Holding Co., Inc./Neiman Marcus
Group LLC
7.125% due 04/01/26 ~

    2,475,000       2,325,931  

PetSmart, Inc./PetSmart Finance Corp.
4.750% due 02/15/28 ~

    750,000       704,738  

Royal Caribbean Cruises Ltd.

   

7.250% due 01/15/30 ~

    925,000       931,614  

9.250% due 01/15/29 ~

    2,675,000       2,844,769  

11.625% due 08/15/27 ~

    900,000       967,500  

Scientific Games International, Inc.
7.000% due 05/15/28 ~

    1,350,000       1,337,816  

SeaWorld Parks & Entertainment, Inc.
5.250% due 08/15/29 ~

    5,700,000       5,151,261  

Six Flags Entertainment Corp.

   

4.875% due 07/31/24 ~

    3,000,000       2,957,827  

5.500% due 04/15/27 ~

    1,125,000       1,091,644  

STL Holding Co. LLC
7.500% due 02/15/26 ~

    4,400,000       3,869,008  

Viking Cruises Ltd.

   

6.250% due 05/15/25 ~

    1,245,000       1,170,852  

7.000% due 02/15/29 ~

    1,775,000       1,524,281  

Viking Ocean Cruises Ship VII Ltd.
5.625% due 02/15/29 ~

    275,000       236,328  
   

 

 

 
    134,775,526  
   

 

 

 

Consumer, Non-Cyclical - 14.6%

   

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC

 

3.500% due 03/15/29 ~

    1,350,000       1,175,896  

4.625% due 01/15/27 ~

    550,000       532,455  

5.875% due 02/15/28 ~

    8,375,000       8,332,287  

Allied Universal Holdco LLC/Allied Universal Finance Corp.

 

6.000% due 06/01/29 ~

    1,250,000       934,506  

6.625% due 07/15/26 ~

    250,000       240,500  

9.750% due 07/15/27 ~

    10,200,000       9,100,950  

Avantor Funding, Inc.

   

3.875% due 11/01/29 ~

    500,000       447,960  

4.625% due 07/15/28 ~

    3,975,000       3,769,930  

Bausch Health Cos., Inc.

   

4.875% due 06/01/28 ~

    4,275,000       2,526,097  

6.125% due 02/01/27 ~

    550,000       356,521  

11.000% due 09/30/28 ~

    2,787,000       2,064,721  

Central Garden & Pet Co.
4.125% due 04/30/31 ~

    4,925,000       4,257,515  

Charles River Laboratories International, Inc.

 

3.750% due 03/15/29 ~

    825,000       733,142  

4.000% due 03/15/31 ~

    3,100,000       2,715,272  

4.250% due 05/01/28 ~

    3,350,000       3,139,285  

CHS/Community Health Systems, Inc.

   

4.750% due 02/15/31 ~

    1,305,000       964,787  

5.250% due 05/15/30 ~

    450,000       353,408  

5.625% due 03/15/27 ~

    3,100,000       2,724,714  

6.125% due 04/01/30 ~

    1,050,000       633,707  

CoreLogic, Inc.
4.500% due 05/01/28 ~

    4,500,000       3,418,582  

Garda World Security Corp. (Canada)

   

6.000% due 06/01/29 ~

    1,100,000       875,914  
   

Principal
Amount

   

Value

 

9.500% due 11/01/27 ~

    $ 3,117,000       $ 2,960,433  

Hertz Corp.
5.000% due 12/01/29 ~

    4,450,000       3,690,563  

Lamb Weston Holdings, Inc.

   

4.125% due 01/31/30 ~

    1,325,000       1,213,627  

4.375% due 01/31/32 ~

    4,250,000       3,858,183  

Medline Borrower LP
3.875% due 04/01/29 ~

    1,975,000       1,715,603  

MPH Acquisition Holdings LLC

   

5.500% due 09/01/28 ~

    975,000       776,051  

5.750% due 11/01/28 ~

    5,550,000       3,998,297  

Option Care Health, Inc.
4.375% due 10/31/29 ~

    4,350,000       3,846,334  

PECF USS Intermediate Holding III Corp. 8.000% due 11/15/29 ~

    4,800,000       3,193,416  

Performance Food Group, Inc.
4.250% due 08/01/29 ~

    6,475,000       5,821,395  

Pilgrim’s Pride Corp.
4.250% due 04/15/31

    2,800,000       2,472,330  

Post Holdings, Inc.
4.625% due 04/15/30 ~

    6,600,000       5,921,190  

Select Medical Corp.
6.250% due 08/15/26 ~

    6,550,000       6,360,083  

Tenet Healthcare Corp.

   

4.250% due 06/01/29

    1,525,000       1,381,055  

4.375% due 01/15/30

    1,950,000       1,751,880  

4.625% due 06/15/28

    675,000       623,420  

6.125% due 10/01/28

    4,075,000       3,909,331  

6.125% due 06/15/30 ~

    575,000       567,755  

6.250% due 02/01/27

    1,275,000       1,255,238  

US Foods, Inc.
4.625% due 06/01/30 ~

    6,850,000       6,185,804  
   

 

 

 
    110,800,137  
   

 

 

 

Energy - 10.8%

   

Antero Midstream Partners LP/Antero Midstream Finance Corp.
5.375% due 06/15/29 ~

    6,600,000       6,219,250  

Antero Resources Corp.

   

5.375% due 03/01/30 ~

    2,550,000       2,375,006  

7.625% due 02/01/29 ~

    1,961,000       2,007,044  

Archrock Partners LP/Archrock Partners Finance Corp.

 

6.250% due 04/01/28 ~

    625,000       600,600  

6.875% due 04/01/27 ~

    3,200,000       3,143,120  

Ascent Resources Utica Holdings LLC/ARU Finance Corp.
5.875% due 06/30/29 ~

    4,550,000       4,019,902  

Callon Petroleum Co.
7.500% due 06/15/30 ~

    2,025,000       1,905,454  

Cheniere Energy Partners LP

   

4.000% due 03/01/31

    1,425,000       1,269,647  

4.500% due 10/01/29

    1,000,000       929,946  

Comstock Resources, Inc.
5.875% due 01/15/30 ~

    3,225,000       2,773,719  

CQP Holdco LP/BIP-V Chinook Holdco LLC 5.500% due 06/15/31 ~

    5,575,000       5,017,611  

Crescent Energy Finance LLC
9.250% due 02/15/28 ~

    925,000       887,773  

Endeavor Energy Resources LP/EER Finance, Inc.
5.750% due 01/30/28 ~

    6,375,000       6,333,499  

EnLink Midstream LLC
6.500% due 09/01/30 ~

    4,725,000       4,783,117  

EQM Midstream Partners LP

   

5.500% due 07/15/28

    1,525,000       1,387,079  

6.000% due 07/01/25 ~

    340,000       336,539  

6.500% due 07/01/27 ~

    2,200,000       2,134,726  

7.500% due 06/01/27 ~

    50,000       50,249  

7.500% due 06/01/30 ~

    50,000       48,497  

Genesis Energy LP/Genesis Energy Finance Corp.

 

7.750% due 02/01/28

    4,420,000       4,290,841  

8.875% due 04/15/30

    150,000       152,010  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

32

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

ITT Holdings LLC
6.500% due 08/01/29 ~

    $ 4,100,000       $ 3,465,402  

Occidental Petroleum Corp.
6.125% due 01/01/31

    4,500,000       4,673,318  

Range Resources Corp.
8.250% due 01/15/29

    2,200,000       2,320,890  

SM Energy Co.
6.500% due 07/15/28

    775,000       740,249  

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.

 

6.000% due 12/31/30 ~

    2,500,000       2,237,513  

6.000% due 09/01/31 ~

    2,425,000       2,147,476  

Tap Rock Resources LLC
7.000% due 10/01/26 ~

    4,625,000       4,055,977  

Targa Resources Partners LP/Targa Resources Partners Finance Corp.

 

4.000% due 01/15/32

    2,850,000       2,487,067  

5.000% due 01/15/28

    1,350,000       1,306,624  

USA Compression Partners LP/USA Compression Finance Corp.
6.875% due 09/01/27

    1,350,000       1,291,349  

Venture Global Calcasieu Pass LLC

   

3.875% due 08/15/29 ~

    975,000       880,328  

3.875% due 11/01/33 ~

    5,415,000       4,554,800  

4.125% due 08/15/31 ~

    975,000       857,600  

6.250% due 01/15/30 ~

    200,000       201,696  
   

 

 

 
    81,885,918  
   

 

 

 

Financial - 3.9%

   

Avolon Holdings Funding Ltd. (Ireland)

   

2.750% due 02/21/28 ~

    3,500,000       2,924,264  

3.250% due 02/15/27 ~

    1,500,000       1,332,620  

Howard Hughes Corp.

   

4.375% due 02/01/31 ~

    5,575,000       4,495,011  

5.375% due 08/01/28 ~

    3,425,000       3,123,942  

Iron Mountain, Inc.

   

4.500% due 02/15/31 ~

    650,000       559,195  

4.875% due 09/15/29 ~

    3,450,000       3,104,586  

5.000% due 07/15/28 ~

    925,000       861,744  

5.250% due 03/15/28 ~

    700,000       667,761  

OneMain Finance Corp.
7.125% due 03/15/26

    5,100,000       4,907,730  

Park Intermediate Holdings LLC/PK
Domestic Property LLC/PK Finance Co-Issuer
4.875% due 05/15/29 ~

    5,400,000       4,651,911  

VICI Properties LP/VICI Note Co., Inc. REIT

   

3.750% due 02/15/27 ~

    1,750,000       1,617,114  

4.625% due 12/01/29 ~

    1,375,000       1,252,948  
   

 

 

 
    29,498,826  
   

 

 

 

Industrial - 17.5%

   

ARD Finance SA (Luxembourg)
6.500% Cash or 7.250% PIK due 06/30/27 ~

    710,980       544,753  

BWX Technologies, Inc.

   

4.125% due 06/30/28 ~

    7,350,000       6,626,903  

4.125% due 04/15/29 ~

    2,050,000       1,820,334  

Cargo Aircraft Management, Inc.
4.750% due 02/01/28 ~

    6,175,000       5,528,292  

Chart Industries, Inc.

   

7.500% due 01/01/30 ~

    2,525,000       2,612,037  

9.500% due 01/01/31 ~

    2,325,000       2,455,095  

Clean Harbors, Inc.
6.375% due 02/01/31 ~

    4,525,000       4,621,382  

Clydesdale Acquisition Holdings, Inc.

   

6.625% due 04/15/29 ~

    1,575,000       1,517,355  

8.750% due 04/15/30 ~

    1,125,000       1,023,671  
   

Principal
Amount

   

Value

 

First Student Bidco, Inc./First Transit Parent, Inc.
4.000% due 07/31/29 ~

    $ 4,800,000     $ 4,181,035  

GFL Environmental, Inc. (Canada)

   

3.500% due 09/01/28 ~

    7,050,000       6,386,842  

3.750% due 08/01/25 ~

    25,000       24,051  

4.000% due 08/01/28 ~

    1,050,000       954,944  

4.375% due 08/15/29 ~

    2,850,000       2,554,597  

4.750% due 06/15/29 ~

    550,000       514,250  

Husky III Holding Ltd. (Canada) 13.000% Cash or 13.750% PIK due 02/15/25 ~

    5,374,000       4,554,465  

LABL, Inc.

   

5.875% due 11/01/28 ~

    6,050,000       5,387,164  

6.750% due 07/15/26 ~

    1,850,000       1,785,800  

8.250% due 11/01/29 ~

    1,825,000       1,559,645  

9.500% due 11/01/28 ~

    200,000       202,000  

Madison IAQ LLC

   

4.125% due 06/30/28 ~

    1,900,000       1,645,619  

5.875% due 06/30/29 ~

    4,075,000       3,151,972  

Masco Corp.
7.750% due 08/01/29

    864,000       968,540  

Mauser Packaging Solutions Holding Co.

   

7.875% due 08/15/26 ~

    925,000       925,837  

9.250% due 04/15/27 ~

    5,700,000       5,272,500  

OT Merger Corp.
7.875% due 10/15/29 ~

    5,800,000       3,460,209  

Owens-Brockway Glass Container, Inc.

   

5.375% due 01/15/25 ~

    4,670,000       4,601,117  

5.875% due 08/15/23 ~

    2,259,000       2,257,713  

Pentair Finance SARL
5.900% due 07/15/32

    4,750,000       4,921,910  

Rand Parent LLC
8.500% due 02/15/30 ~

    2,725,000       2,564,429  

Sealed Air Corp./Sealed Air Corp.
6.125% due 02/01/28 ~

    4,800,000       4,858,560  

Sensata Technologies BV
4.000% due 04/15/29 ~

    1,600,000       1,447,000  

Sensata Technologies, Inc.
4.375% due 02/15/30 ~

    4,800,000       4,379,226  

Spirit AeroSystems, Inc.
9.375% due 11/30/29 ~

    1,775,000       1,939,187  

SPX FLOW, Inc.
8.750% due 04/01/30 ~

    5,225,000       4,515,027  

Standard Industries, Inc.

   

3.375% due 01/15/31 ~

    650,000       523,133  

4.750% due 01/15/28 ~

    4,875,000       4,561,026  

TK Elevator Holdco GmbH (Germany)
7.625% due 07/15/28 ~

    5,831,000       5,044,625  

TK Elevator US Newco, Inc. (Germany)
5.250% due 07/15/27 ~

    3,150,000       2,978,026  

TransDigm UK Holdings PLC
6.875% due 05/15/26

    2,650,000       2,612,834  

TransDigm, Inc.

   

4.625% due 01/15/29

    1,325,000       1,179,303  

4.875% due 05/01/29

    1,700,000       1,506,517  

5.500% due 11/15/27

    2,175,000       2,053,206  

6.250% due 03/15/26 ~

    4,075,000       4,082,844  

6.750% due 08/15/28 ~

    1,375,000       1,390,469  

8.000% due 12/15/25 ~

    3,925,000       4,001,047  

Triumph Group, Inc.
9.000% due 03/15/28 ~

    800,000       801,840  
   

 

 

 
    132,498,331  
   

 

 

 

Technology - 1.9%

   

Entegris Escrow Corp.
4.750% due 04/15/29 ~

    3,575,000       3,383,068  

Entegris, Inc.

   

3.625% due 05/01/29 ~

    1,100,000       950,466  

4.375% due 04/15/28 ~

    5,225,000       4,726,312  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

33

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Open Text Corp. (Canada)
3.875% due 12/01/29 ~

    $ 950,000       $ 800,750  

Open Text Holdings, Inc. (Canada)
4.125% due 12/01/31 ~

    3,400,000       2,808,349  

Rackspace Technology Global, Inc.
3.500% due 02/15/28 ~

    2,925,000       1,524,744  
   

 

 

 
    14,193,689  
   

 

 

 

Utilities - 2.8%

   

Atlantica Sustainable Infrastructure PLC (Spain)
4.125% due 06/15/28 ~

    600,000       539,040  

Calpine Corp.
5.125% due 03/15/28 ~

    7,100,000       6,510,063  

Clearway Energy Operating LLC
3.750% due 02/15/31 ~

    5,500,000       4,748,700  

Vistra Operations Co. LLC

   

4.375% due 05/01/29 ~

    5,350,000       4,744,301  

5.000% due 07/31/27 ~

    4,800,000       4,545,144  
   

 

 

 
    21,087,248  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $717,306,768)

 

    659,228,982  
   

 

 

 

SENIOR LOAN NOTES - 2.1%

   

Consumer, Cyclical - 2.1%

   

K-Mac Holdings Corp. (2nd Lien)
11.602% (USD LIBOR + 6.750%)
due 07/30/29 §

    1,750,000       1,624,583  

PetSmart, Inc. Term B
8.657% (SOFR + 3.750%)
due 02/11/28 §

    8,000,000       7,948,336  

SRS Distribution, Inc. Term B
8.340% (USD LIBOR + 3.500%)
due 06/02/28 §

    4,000,000       3,865,000  

Tacala LLC (2nd Lien)
12.340% (USD LIBOR + 7.500%)
due 02/04/28 §

    2,250,000       2,062,980  
   

 

 

 
    15,500,899  
   

 

 

 

Technology - 0.0%

   

Ultimate Software Group, Inc.
8.271% (USD LIBOR + 3.250%)
due 05/04/26 §

    244,411       238,475  
   

 

 

 

Total Senior Loan Notes
(Cost $16,134,341)

 

    15,739,374  
   

 

 

 

ASSET-BACKED SECURITIES - 5.1%

   

AIG CLO LLC
11.408% (USD LIBOR + 6.600%)
due 04/20/32 § ~

    500,000       462,275  

AIMCO CLO (Cayman)
11.392% (USD LIBOR + 6.600%)
due 10/17/34 § ~

    500,000       457,464  

AIMCO CLO 10 Ltd. (Cayman)
10.765% (USD LIBOR + 5.950%)
due 07/22/32 § ~

    2,200,000       2,018,674  

Benefit Street Partners CLO V-B Ltd. (Cayman)
10.758% (USD LIBOR + 5.950%)
due 04/20/31 § ~

    1,250,000       1,069,020  

Benefit Street Partners CLO XVI Ltd. (Cayman)
11.492% (USD LIBOR + 6.700%)
due 01/17/32 § ~

    4,000,000       3,582,372  
   

Principal
Amount

   

Value

 

Burnham Park Clo Ltd. (Cayman)
10.208% (USD LIBOR + 5.400%)
due 10/20/29 § ~

    $ 500,000       $ 423,743  

CarVal CLO III Ltd. (Cayman)
11.248% (USD LIBOR + 6.440%)
due 07/20/32 § ~

    3,975,000       3,443,600  

CIFC Funding Ltd. (Cayman)

   

10.942% (USD LIBOR + 6.150%)

due 01/15/32 § ~

    1,000,000       909,977  

12.192% (USD LIBOR + 7.400%)

due 01/16/33 § ~

    4,550,000       4,262,143  

Dryden 55 CLO Ltd. (Cayman)

   

10.192% (USD LIBOR + 5.400%)

due 04/15/31 § ~

    1,000,000       835,739  

11.992% (USD LIBOR + 7.200%)

due 04/15/31 § ~

    250,000       169,938  

Goldentree Loan Opportunities X Ltd. 10.458% (USD LIBOR + 5.650%)
due 07/20/31 § ~

    750,000       673,775  

Magnetite VIII Ltd. (Cayman)
12.232% (USD LIBOR + 7.440%)
due 04/15/31 § ~

    2,000,000       1,701,951  

Magnetite XXIII Ltd. (Cayman)
11.118% (USD LIBOR + 6.300%)
due 01/25/35 § ~

    500,000       463,918  

Magnetite Xxix Ltd. (Cayman)
10.542% (USD LIBOR + 5.750%)
due 01/15/34 § ~

    3,950,000       3,604,622  

Neuberger Berman Loan Advisers CLO 24 Ltd. (Cayman)
10.818% (USD LIBOR + 6.020%)
due 04/19/30 § ~

    2,500,000       2,175,433  

Neuberger Berman Loan Advisers CLO 30 Ltd. (Cayman)
11.008% (USD LIBOR + 6.200%)
due 01/20/31 § ~

    2,250,000       2,015,261  

Neuberger Berman Loan Advisers CLO 31 Ltd. (Cayman)
11.308% (USD LIBOR + 6.500%)
due 04/20/31 § ~

    2,500,000       2,239,403  

Neuberger Berman Loan Advisers CLO 35 Ltd. (Cayman)
11.798% (USD LIBOR + 7.000%)
due 01/19/33 § ~

    2,100,000       1,916,059  

Parallel Ltd. (Cayman)
12.008% (USD LIBOR + 7.200%)
due 10/20/34 § ~

    2,000,000       1,749,624  

Rad CLO 2 Ltd. (Cayman)

   

10.792% (USD LIBOR + 6.000%)

due 10/15/31 § ~

    3,600,000       3,163,066  

12.242% (USD LIBOR + 7.450%)

due 10/15/31 § ~

    1,750,000       1,216,732  

RR 19 Ltd. (Cayman) 11.292% (USD LIBOR + 6.500%) due 10/15/35 § ~

    625,000       561,476  
   

 

 

 

Total Asset-Backed Securities
(Cost $43,190,370)

 

    39,116,265  
   

 

 

 

SHORT-TERM INVESTMENT - 5.1%

   

Repurchase Agreement - 5.1%

   

Fixed Income Clearing Corp.
4.450% due 04/03/23 (Dated 03/31/23, repurchase price of $38,438,094; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $39,192,344)

    38,423,845       38,423,845  
   

 

 

 

Total Short-Term Investment
(Cost $38,423,845)

      38,423,845  
   

 

 

 

TOTAL INVESTMENTS - 99.3%
(Cost $819,446,738)

      752,600,610  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.7%

 

    5,100,955  
   

 

 

 

NET ASSETS - 100.0%

      $757,701,565  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

34

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $92,144        $-        $92,144        $-  
 

Corporate Bonds & Notes

     659,228,982        -        659,228,982        -  
 

Senior Loan Notes

     15,739,374        -        15,739,374        -  
 

Asset-Backed Securities

     39,116,265        -        39,116,265        -  
 

Short-Term Investment

     38,423,845        -        38,423,845        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $752,600,610        $-        $752,600,610        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

35

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 3.1%

   

Consumer, Cyclical - 0.1%

   

Toyota Tsusho Corp. (Japan)
3.625% due 09/13/23 ~

    $500,000       $496,533  
   

 

 

 

Financial - 3.0%

   

Avolon Holdings Funding Ltd. (Ireland)
2.528% due 11/18/27 ~

    6,000       5,082  

Bank of America Corp.
5.875% due 03/15/28

    410,000       369,410  

Credit Suisse Group AG (Switzerland)

   

0.650% due 01/14/28 ~

    EUR 100,000       90,244  

3.288% (EUR LIBOR + 1.000%)

due 01/16/26 § ~

    100,000       101,126  

7.750% due 03/01/29 ~

    100,000       118,762  

Jyske Realkredit AS (Denmark)

   

0.500% due 10/01/43

    DKK 1,810,813       203,518  

1.000% due 10/01/50 ~

    23,107,994       2,493,511  

1.000% due 10/01/53

    5,520,698       550,153  

1.500% due 10/01/53

    3,338,068       365,056  

2.500% due 10/01/47

    693       90  

Natwest Group PLC (United Kingdom)

   

4.519% due 06/25/24

    $500,000       497,633  

6.684% (USD LIBOR + 1.550%)

due 06/25/24 §

    700,000       699,487  

Nordea Kredit Realkreditaktieselskab (Denmark)

 

 

0.500% due 10/01/43

    DKK 719,422       80,707  

1.000% due 10/01/50

    8,517,547       862,581  

1.000% due 10/01/50 ~

    7,676,970       829,143  

1.500% due 10/01/53

    5,199,579       549,829  

2.000% due 10/01/53

    999,840       111,680  

2.000% due 10/01/53 ~

    199,902       23,410  

2.500% due 10/01/47

    347       45  

Nykredit Realkredit AS (Denmark)

   

0.500% due 10/01/43 ~

    5,426,996       608,324  

1.000% due 10/01/50 ~

    51,965,813       5,596,133  

1.000% due 10/01/53 ~

    2,321,091       243,910  

1.500% due 10/01/53 ~

    8,834,833       986,546  

2.500% due 10/01/47 ~

    1,865       244  

Realkredit Danmark AS (Denmark)

   

1.000% due 10/01/50 ~

    15,620,747       1,682,743  

1.000% due 10/01/53 ~

    7,146,203       720,775  

1.500% due 10/01/53 ~

    497,488       52,835  

2.000% due 10/01/53 ~

    1,595,114       178,440  

2.500% due 04/01/47 ~

    8,576       1,123  

UniCredit SpA (Italy)
7.830% due 12/04/23 ~

    $1,750,000       1,766,236  
   

 

 

 
      19,788,776  
   

 

 

 

Technology - 0.0%

   

VMware, Inc.
3.900% due 08/21/27

    100,000       95,792  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $27,175,927)

      20,381,101  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 7.0%

 

 

Collateralized Mortgage Obligations - Commercial - 0.3%

 

 

BAMLL Commercial Mortgage Securities Trust
5.734% (USD LIBOR + 1.050%)
due 09/15/38 § ~

    500,000       467,253  
   

Principal
Amount

   

Value

 

GS Mortgage Securities Corp. II
8.228% (SOFR + 3.400%)
due 08/15/39 § ~

    $ 1,600,000       $ 1,593,151  
   

 

 

 
      2,060,404  
   

 

 

 

Collateralized Mortgage Obligations - Residential - 1.9%

 

 

Angel Oak Mortgage Trust
1.469% due 06/25/65 § ~

    256,449       231,615  

Bear Stearns Adjustable Rate Mortgage Trust
4.962% due 01/25/35 §

    74,050       62,144  

Chevy Chase Funding LLC Mortgage-Backed Certificates
5.205% (USD LIBOR + 0.360%)
due 03/25/35 § ~

    170,798       160,689  

Citigroup Mortgage Loan Trust, Inc.

   

3.777% due 05/25/42 § ~

    538,534       483,541  

3.950% (UST + 2.400%)

due 05/25/35 §

    6,075       5,560  

Eurosail-UK PLC (United Kingdom)
5.221% (SONIA + 1.069%)
due 06/13/45 § ~

    GBP 373,847       458,435  

Fannie Mae REMICS

   

3.777% due 05/25/35 §

    $203,099       206,241  

4.677% (USD LIBOR + 0.060%)

due 07/25/37 §

    242,459       237,606  

4.995% (USD LIBOR + 0.150%)

due 08/25/34 §

    14,301       14,013  

5.195% (USD LIBOR + 0.350%)

due 07/25/37 §

    2,690       2,637  

Freddie Mac
5.134% (USD LIBOR + 0.450%)
due 09/15/42 §

    595,376       580,505  

Freddie Mac REMICS

   

3.806% (USD LIBOR + 0.350%)

due 07/15/44 §

    307,106       300,416  

5.034% (USD LIBOR + 0.350%)

due 01/15/47 §

    964,538       931,904  

Government National Mortgage Association REMICS

 

 

1.968% (USD LIBOR + 0.750%)

due 04/20/67 §

    561,243       560,924  

3.858% (USD LIBOR + 0.150%)

due 08/20/68 §

    619,295       603,082  

5.459% (SOFR + 0.900%)

due 10/20/72 §

    2,418,543       2,408,058  

Great Hall Mortgages No 1 PLC (United Kingdom)

 

 

4.420% (SONIA + 0.249%)

due 03/18/39 § ~

    GBP 7,584       9,248  

4.440% (SONIA + 0.269%)

due 06/18/38 § ~

    7,037       8,604  

GSMPS Mortgage Loan Trust
7.000% due 06/25/43 ~

    $123,043       125,971  

GSR Mortgage Loan Trust
4.367% due 01/25/35 §

    65,385       58,562  

HarborView Mortgage Loan Trust
5.441% (USD LIBOR + 0.680%)
due 06/20/35 §

    1,675,336       1,471,903  

Impac CMB Trust
5.845% (USD LIBOR + 1.000%)
due 07/25/33 §

    18,114       17,944  

JP Morgan Mortgage Trust
4.183% due 07/25/35 §

    34,155       32,321  

Mellon Residential Funding Corp. Mortgage Pass-Through Certificate Trust

 

5.124% (USD LIBOR + 0.440%)

due 12/15/30 §

    58,080       53,831  

5.384% (USD LIBOR + 0.700%)

due 11/15/31 §

    82,695       77,664  

New Residential Mortgage Loan Trust
3.250% due 02/25/59 § ~

    346,394       327,031  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

36

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Residential Mortgage Securities 32 PLC (United Kingdom)
5.421% (SONIA + 1.250%)
due 06/20/70 § ~

    GBP 435,330       $ 536,256  

Sequoia Mortgage Trust
5.461% (USD LIBOR + 0.700%)
due 10/19/26 §

    $47,069       44,536  

Structured Adjustable Rate Mortgage Loan Trust
5.193% due 02/25/34 §

    19,015       17,483  

Structured Asset Mortgage Investments II Trust

   

5.261% (USD LIBOR + 0.500%)

due 07/19/35 §

    175,749       154,770  

5.421% (USD LIBOR + 0.660%)

due 10/19/34 §

    79,490       73,401  

Thornburg Mortgage Securities Trust
5.465% (USD LIBOR + 0.620%)
due 06/25/44 §

    1,072,744       952,303  

Towd Point Mortgage Funding PLC (United Kingdom)
5.037% (SONIA + 1.144%)
due 10/20/51

    GBP 719,373       888,479  

WaMu Mortgage Pass-Through Certificates Trust
2.806% due 08/25/35 §

    $17,597       15,233  
   

 

 

 
      12,112,910  
   

 

 

 

Fannie Mae - 4.8%

   

due 05/12/52 #

    7,500,000       7,350,812  

due 06/25/52 #

    15,668,000       14,993,601  

due 04/13/53 #

    8,400,000       8,661,844  

3.175% (USD LIBOR + 0.675%)

due 02/01/36 §

    29,490       28,794  

3.326% (USD LIBOR + 2.000%)

due 04/01/35 §

    82,883       80,972  

3.522% (USD LIBOR + 1.272%)

due 11/01/35 §

    20,097       19,713  

3.622% (USD LIBOR + 1.372%)

due 12/01/34 §

    17,232       16,966  

3.663% (USD LIBOR + 1.538%)

due 01/01/36 §

    6,106       5,966  

3.850% (USD LIBOR + 1.725%)

due 05/01/35 §

    754       738  

3.993% (US FED + 1.200%)

due 11/01/42 - 10/01/44 §

    70,177       67,016  

4.030% (USD LIBOR + 1.780%)

due 11/01/35 §

    7,798       7,624  

4.192% (USD LIBOR + 1.942%)

due 09/01/35 §

    165       162  

4.394% (USD LIBOR + 1.644%)

due 03/01/35 §

    75,728       74,259  

5.000% (US FED + 1.250%)

due 08/01/24 §

    1,108       1,099  
   

 

 

 
      31,309,566  
   

 

 

 

Freddie Mac - 0.0%

   

3.981% (USD LIBOR + 1.731%)

due 08/01/35 §

    1,211       1,194  

4.350% (UST + 2.225%)

due 01/01/34 §

    34,773       34,866  

4.815% (USD LIBOR + 1.815%)

due 03/01/36 §

    1,307       1,277  
   

 

 

 
      37,337  
   

 

 

 

Government National Mortgage Association - 0.0%

 

 

2.625% (UST + 1.500%)

due 09/20/23 - 01/20/27 §

    6,570       6,436  

2.750% (UST + 1.500%)

due 11/20/26 §

    2,169       2,106  
   

Principal
Amount

   

Value

 

2.875% (UST + 1.500%)

due 05/20/23 §

    $ 6       $ 6  

3.000% (UST + 1.500%)

due 10/20/24 - 12/20/26 §

    5,018       4,903  
   

 

 

 
      13,451  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $46,071,574)

      45,533,668  
   

 

 

 

ASSET-BACKED SECURITIES - 9.4%

 

 

522 Funding CLO Ltd. (Cayman)
5.848% (USD LIBOR + 1.040%)
due 10/20/31 § ~

    1,100,000       1,081,850  

ABFC Trust

   

5.445% (USD LIBOR + 0.600%)

due 10/25/34 §

    37,941       37,907  

5.545% (USD LIBOR + 0.700%)

due 06/25/34 §

    924,214       869,311  

ACAS CLO Ltd. (Cayman)
5.685% (USD LIBOR + 0.890%)
due 10/18/28 § ~

    345,089       341,165  

ACE Securities Corp. Home Equity Loan Trust
5.625% (USD LIBOR + 0.780%)
due 04/25/34 §

    627,071       586,714  

AMMC CLO 16 Ltd. (Cayman)
5.772% (USD LIBOR + 0.980%)
due 04/14/29 § ~

    378,676       378,429  

Apidos CLO XXVI (Cayman)
5.695% (USD LIBOR + 0.900%)
due 07/18/29 § ~

    300,000       297,422  

Apidos CLO XXVII (Cayman)
5.722% (USD LIBOR + 0.930%)
due 07/17/30 § ~

    300,000       296,454  

Ares European CLO VI DAC (Ireland)
2.898% (EUR LIBOR + 0.610%)
due 04/15/30 § ~

    EUR 492,009       523,564  

Ares European CLO X DAC (Ireland)
3.068% (EUR LIBOR + 0.780%)
due 10/15/31 § ~

    900,000       953,457  

ARES L CLO Ltd. (Cayman)
5.842% (USD LIBOR + 1.050%)
due 01/15/32 § ~

    $810,000       798,139  

ARES LII CLO Ltd. (Cayman)
5.865% (USD LIBOR + 1.050%)
due 04/22/31 § ~

    300,000       295,514  

Atlas Senior Loan Fund Ltd. (Cayman)
5.942% (USD LIBOR + 1.150%)
due 01/16/30 § ~

    529,494       526,429  

Barings CLO Ltd. (Cayman)
5.878% (USD LIBOR + 1.070%)
due 01/20/32 § ~

    1,500,000       1,480,903  

BDS LLC
6.556% (SOFR + 1.800%)
due 03/19/39 § ~

    1,000,000       987,072  

Benefit Street Partners CLO XVII Ltd. (Cayman)
5.872% (USD LIBOR + 1.080%)
due 07/15/32 § ~

    1,800,000       1,771,565  

Black Diamond CLO Ltd. (Ireland)
3.202% (EUR LIBOR + 0.860%)
due 01/20/32 § ~

    EUR 547,328       583,832  

Carlyle Euro CLO DAC (Ireland)
3.284% (EUR LIBOR + 0.630%)
due 08/15/30 § ~

    484,887       514,630  

Carlyle Global Market Strategies CLO Ltd.

   

5.819% (USD LIBOR + 0.950%)

due 08/14/30 § ~

    $384,105       379,976  

5.895% (USD LIBOR + 1.080%)

due 04/22/32 § ~

    500,000       491,500  
   
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

37

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Carlyle Global Market Strategies Euro CLO Ltd. (Ireland)
3.404% (EUR LIBOR + 0.750%)
due 11/15/31 § ~

    EUR 1,700,000       $ 1,797,815  

Catamaran CLO Ltd. (Cayman)
5.915% (USD LIBOR + 1.100%)
due 04/22/30 § ~

    $379,632       375,500  

CBAM Ltd. (Cayman)
6.058% (USD LIBOR + 1.250%)
due 07/20/30 § ~

    588,323       576,246  

CIFC Funding Ltd. (Cayman)

   

5.766% (USD LIBOR + 0.950%)

due 10/24/30 § ~

    387,508       382,907  

5.795% (USD LIBOR + 1.000%)

due 04/18/31 § ~

    500,000       492,307  

Citigroup Mortgage Loan Trust, Inc.
5.135% (USD LIBOR + 0.290%)
due 09/25/36 § ~

    267,955       253,693  

Credit-Based Asset Servicing & Securitization LLC
3.948% (USD LIBOR + 1.050%)
due 06/25/35 §

    1,083,000       1,028,653  

Crestline Denali CLO XIV Ltd. (Cayman)
5.955% (USD LIBOR + 1.140%)
due 10/23/31 § ~

    299,533       294,209  

Crestline Denali CLO XV Ltd. (Cayman)
5.838% (USD LIBOR + 1.030%)
due 04/20/30 § ~

    343,220       338,783  

Dryden 52 Euro CLO DAC (Ireland)
3.514% (EUR LIBOR + 0.860%)
due 05/15/34 § ~

    EUR 400,000       424,039  

Dryden 60 CLO Ltd. (Cayman)
5.842% (USD LIBOR + 1.050%)
due 07/15/31 § ~

    $1,500,000       1,478,250  

Dryden 64 CLO Ltd. (Cayman)
5.765% (USD LIBOR + 0.970%)
due 04/18/31 § ~

    600,000       592,364  

Dryden XXVI Senior Loan Fund (Cayman)
5.692% (USD LIBOR + 0.900%)
due 04/15/29 § ~

    1,463,919       1,448,548  

Freddie Mac Structured Pass-Through Certificates
5.105% (USD LIBOR + 0.260%)
due 08/25/31 §

    43,645       43,527  

Gallatin CLO VIII Ltd. (Cayman)
5.169% (USD LIBOR + 1.090%)
due 07/15/31 § ~

    300,000       294,600  

Goldentree Loan Management US Clo 2 Ltd. (Cayman)
5.718% (USD LIBOR + 0.910%)
due 11/20/30 § ~

    300,000       296,250  

Goldentree Loan Opportunities XI Ltd. (Cayman)
5.865% (USD LIBOR + 1.070%)
due 01/18/31 § ~

    600,000       595,855  

HalseyPoint CLO 3 Ltd. (Cayman)
6.252% (USD LIBOR + 1.450%)
due 11/30/32 § ~

    950,000       938,151  

Harvest CLO XXII DAC (Ireland)
3.138% (EUR LIBOR + 0.850%)
due 01/15/32 § ~

    EUR 1,200,000       1,264,730  

Home Equity Asset Trust

   

5.700% (USD LIBOR + 0.855%)

due 08/25/34 §

    $116,780       113,588  

6.045% (USD LIBOR + 1.200%)

due 07/25/35 §

    1,000,000       952,210  

KKR CLO 9 Ltd. (Cayman)
5.742% (USD LIBOR + 0.950%)
due 07/15/30 § ~

    260,764       257,850  

LCM CLO XIII LP (Cayman)
5.668% (USD LIBOR + 0.870%)
due 07/19/27 § ~

    759,912       754,986  
   
   

Principal
Amount

   

Value

 

LCM XV LP (Cayman)
5.808% (USD LIBOR + 1.000%)
due 07/20/30 § ~

    $ 1,195,845       $ 1,180,949  

LCM XVIII LP (Cayman)
5.828% (USD LIBOR + 1.020%)
due 04/20/31 § ~

    1,000,000       986,934  

LoanCore Issuer Ltd. (Cayman)
6.108% (SOFR + 1.550%)
due 01/17/37 § ~

    600,000       588,132  

Madison Park Euro Funding IX DAC (Ireland)
3.168% (EUR LIBOR + 0.880%)
due 07/15/35 § ~

    EUR 1,000,000       1,045,298  

Madison Park Funding XLI Ltd. (Cayman)
5.645% (USD LIBOR + 0.830%)
due 04/22/27 § ~

    $1,709,046       1,700,884  

Madison Park Funding XXX Ltd. (Cayman)
5.542% (USD LIBOR + 0.750%)
due 04/15/29 § ~

    4,292,155       4,234,210  

Magnetite CLO XVIII Ltd. (Cayman)
5.744% (USD LIBOR + 0.880%)
due 11/15/28 § ~

    273,744       271,143  

Man GLG Euro CLO II DAC (Ireland)
3.158% (EUR LIBOR + 0.870%)
due 01/15/30 § ~

    EUR 123,795       132,179  

Merrill Lynch Mortgage Investors Trust
5.565% (USD LIBOR + 0.720%)
due 10/25/35 §

    $622,129       578,937  

MF1 LLC
6.906% (SOFR + 2.150%)
due 06/19/37 § ~

    600,000       594,914  

MidOcean Credit CLO II (Cayman)
5.832% (USD LIBOR + 1.030%)
due 01/29/30 § ~

    278,965       276,175  

Midocean Credit CLO VIII (Cayman)
5.965% (USD LIBOR + 1.050%)
due 02/20/31 § ~

    300,000       294,788  

Morgan Stanley ABS Capital I, Inc. Trust

   

5.505% (USD LIBOR + 0.660%)

due 01/25/35 §

    516,035       496,908  

5.820% (USD LIBOR + 0.975%)

due 07/25/34 §

    73,160       69,792  

OAK Hill European Credit Partners VII DAC (Ireland)
3.082% (EUR LIBOR + 0.740%)
due 10/20/31

    EUR 600,000       636,205  

Oaktree CLO Ltd. (Cayman)
5.925% (USD LIBOR + 1.110%)
due 04/22/30 § ~

    $300,000       293,740  

Octagon Investment Partners Ltd. (Cayman)
5.752% (USD LIBOR + 0.960%)
due 04/16/31 § ~

    600,000       594,167  

OSD CLO Ltd. (Cayman)
5.662% (USD LIBOR + 0.870%)
due 04/17/31 § ~

    1,477,319       1,457,851  

OZLM CLO XXIV Ltd. (Cayman)
5.968% (USD LIBOR + 1.160%)
due 07/20/32 § ~

    200,000       196,900  

OZLM VIII Ltd. (Cayman)
5.772% (USD LIBOR + 0.980%)
due 10/17/29 § ~

    243,361       240,927  

Palmer Square Loan Funding Ltd. (Cayman)

   

5.592% (USD LIBOR + 0.800%)

due 10/15/29 § ~

    646,101       638,065  

5.608% (USD LIBOR + 0.800%)

due 07/20/29 § ~

    572,217       565,208  

Rad CLO 5 Ltd. (Cayman)
5.936% (USD LIBOR + 1.120%)
due 07/24/32 § ~

    500,000       491,350  

Regatta VIII Funding Ltd. (Cayman)
6.042% (USD LIBOR + 1.250%)
due 10/17/30 § ~

    658,034       651,675  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

38

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Renaissance Home Equity Loan Trust
5.605% (USD LIBOR + 0.760%)
due 12/25/32 §

    $ 164,168       $ 149,628  

Romark CLO Ltd. (Cayman)
5.845% (USD LIBOR + 1.030%)
due 10/23/30 § ~

    500,000       495,000  

Saranac CLO VI Ltd. (Jersey)
6.294% (USD LIBOR + 1.140%)
due 08/13/31 § ~

    300,000       296,897  

Saxon Asset Securities Trust
5.155% (USD LIBOR + 0.310%)
due 09/25/37 §

    137,224       128,994  

Segovia European CLO 6- DAC (Ireland)
3.222% (EUR LIBOR + 0.880%)
due 07/20/32 § ~

    EUR 400,000       423,714  

SLM Student Loan Trust
5.368% (USD LIBOR + 0.550%)
due 10/25/64 § ~

    $623,793       609,582  

Sound Point CLO IX Ltd. (Cayman)
6.018% (USD LIBOR + 1.210%)
due 07/20/32 § ~

    600,000       588,795  

Sound Point CLO XIV Ltd. (Cayman)
5.805% (USD LIBOR + 0.990%)
due 01/23/29 § ~

    270,381       269,957  

Sound Point CLO XV Ltd. (Cayman)
5.715% (USD LIBOR + 0.900%)
due 01/23/29 § ~

    169,023       167,768  

Stratus CLO Ltd. (Cayman)
5.758% (USD LIBOR + 0.950%)
due 12/29/29 § ~

    344,065       340,505  

Structured Asset Securities Corp. Mortgage Loan Trust
6.162% (USD LIBOR + 1.500%)
due 04/25/35 §

    195,131       188,992  

TCI-Symphony CLO Ltd. (Cayman)
5.722% (USD LIBOR + 0.930%)
due 07/15/30 § ~

    1,941,335       1,914,157  

TCW CLO Ltd. (Cayman)
5.788% (USD LIBOR + 0.970%)
due 04/25/31 § ~

    500,000       493,450  

THL Credit Wind River CLO Ltd. (Cayman)
5.872% (USD LIBOR + 1.080%)
due 04/15/31 § ~

    300,000       294,000  

TRTX Issuer Ltd. (Cayman)
6.208% (SOFR + 1.650%)
due 02/15/39 § ~

    500,000       492,541  

TSTAT Ltd. (Bermuda)
6.939% (SOFR + 2.300%)
due 07/20/31 § ~

    581,560       582,554  

United States Small Business Administration
5.290% due 12/01/27

    318,474       318,128  

Venture XIV CLO Ltd. (Cayman)
5.983% (USD LIBOR + 1.030%)
due 08/28/29 § ~

    672,187       663,566  

Venture XVII CLO Ltd. (Cayman)
5.672% (USD LIBOR + 0.880%)
due 04/15/27 § ~

    1,519,337       1,512,972  

Venture XXIV CLO Ltd. (Cayman)
5.708% (USD LIBOR + 0.900%)
due 10/20/28 § ~

    297,471       293,687  

Venture XXVIII CLO Ltd. (Cayman)
5.798% (USD LIBOR + 0.990%)
due 07/20/30 § ~

    298,016       294,290  

Vibrant CLO XI Ltd. (Cayman)
5.928% (USD LIBOR + 1.120%)
due 07/20/32 § ~

    300,000       292,224  

Voya CLO Ltd. (Cayman)

   

5.742% (USD LIBOR + 0.950%)

due 04/17/30 § ~

    1,656,529       1,637,485  

5.892% (USD LIBOR + 1.100%)

due 07/14/31 § ~

    495,483       490,626  

Wellfleet CLO Ltd. (Cayman)

   
   

Principal
Amount

   

Value

 

5.718% (USD LIBOR + 0.910%)

due 04/20/28 § ~

    $ 374,331       $ 372,801  

5.892% (USD LIBOR + 1.100%)

due 07/17/31 § ~

    2,000,000       1,977,567  
   

 

 

 

Total Asset-Backed Securities
(Cost $62,716,626)

      61,698,105  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 73.4%

   

U.S. Government Agency Issues - 5.1%

   

0.625% due 07/15/32 ^

    34,822,450       33,291,212  
   

 

 

 

U.S. Treasury Inflation Protected Securities - 65.1%

 

 

0.125% due 07/15/24 ^

    15,127,800       14,834,988  

0.125% due 10/15/24 ^

    13,522,816       13,209,467  

0.125% due 04/15/25 ^ ‡

    3,902,224       3,781,270  

0.125% due 10/15/25 ^

    19,035,225       18,446,163  

0.125% due 04/15/26 ^

    16,778,874       16,106,496  

0.125% due 07/15/26 ^

    14,124,870       13,609,369  

0.125% due 10/15/26 ^

    17,088,864       16,414,583  

0.125% due 04/15/27 ^

    5,508,412       5,248,573  

0.125% due 01/15/30 ^

    13,880,250       12,942,946  

0.125% due 07/15/30 ^

    22,766,250       21,197,819  

0.125% due 07/15/31 ^

    1,595,780       1,470,772  

0.125% due 01/15/32 ^

    7,768,584       7,101,450  

0.125% due 02/15/51 ^

    4,606,728       3,196,052  

0.125% due 02/15/52 ^

    8,165,668       5,679,788  

0.250% due 01/15/25 ^ ‡

    2,651,838       2,587,968  

0.250% due 07/15/29 ^

    21,768,618       20,638,694  

0.250% due 02/15/50 ^

    3,187,606       2,316,075  

0.375% due 07/15/23 ^

    10,538,804       10,569,981  

0.375% due 07/15/25 ^

    9,783,361       9,571,260  

0.375% due 01/15/27 ^

    13,421,871       12,939,638  

0.375% due 07/15/27 ^ ‡

    61,135       59,077  

0.500% due 04/15/24 ^ ‡

    2,016,030       1,983,708  

0.500% due 01/15/28 ^

    24,605,534       23,757,686  

0.625% due 01/15/24 ^

    6,506,620       6,451,798  

0.625% due 01/15/26 ^

    3,727,159       3,644,735  

0.625% due 02/15/43 ^

    12,527,763       10,590,076  

0.750% due 07/15/28 ^

    4,587,391       4,500,250  

0.750% due 02/15/42 ^

    16,492,889       14,423,033  

0.750% due 02/15/45 ^

    16,854,758       14,375,202  

0.875% due 01/15/29 ^

    18,374,940       18,062,742  

0.875% due 02/15/47 ^

    5,827,158       5,052,119  

1.000% due 02/15/46 ^

    9,126,357       8,173,169  

1.000% due 02/15/48 ^

    7,641,207       6,815,467  

1.000% due 02/15/49 ^

    5,943,000       5,293,886  

1.375% due 02/15/44 ^

    14,257,907       13,828,360  

1.625% due 10/15/27 ^ ‡

    9,995,733       10,194,631  

1.750% due 01/15/28 ^ ‡

    2,568,396       2,628,896  

2.000% due 01/15/26 ^

    7,465,381       7,575,133  

2.125% due 02/15/40 ^

    4,525,026       5,001,305  

2.125% due 02/15/41 ^

    4,110,998       4,543,377  

2.375% due 01/15/25 ^

    13,169,859       13,331,148  

2.375% due 01/15/27 ^ ‡

    133,481       138,411  

2.500% due 01/15/29 ^

    6,962,614       7,458,175  

3.625% due 04/15/28 ^

    13,236,421       14,783,578  

3.875% due 04/15/29 ^

    9,757,335       11,245,998  
   

 

 

 
      425,775,312  
   

 

 

 

U.S. Treasury Notes - 3.2%

   

0.125% due 01/15/31 ^

    22,308,060       20,633,183  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $529,430,951)

      479,699,707  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

39

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

FOREIGN GOVERNMENT BONDS & NOTES - 6.6%

 

Canadian Government (Canada)
4.250% due 12/01/26 ^

    CAD 2,628,060       $2,166,307  

French Republic Government OAT (France)

   

0.100% due 03/01/26 ^ ~

    EUR 3,994,025       4,360,905  

0.100% due 07/25/31 ^ ~

    1,142,920       1,232,338  

0.100% due 07/25/38 ^ ~

    2,356,578       2,395,297  

0.250% due 07/25/24 ^ ~

    1,946,144       2,141,847  

Italy Buoni Poliennali Del Tesoro (Italy)

   

0.400% due 05/15/30 ^ ~

    2,433,564       2,430,851  

1.400% due 05/26/25 ^ ~

    12,512,640       13,482,702  

Japanese Government CPI Linked (Japan)

   

0.005% due 03/10/31 ^

    JPY 83,250,990       652,088  

0.100% due 03/10/28 ^

    511,009,170       3,985,313  

0.100% due 03/10/29 ^

    940,472,619       7,401,950  

New Zealand Government Inflation Linked (New Zealand)
2.000% due 09/20/25 ^ ~

    NZD 3,967,360       2,538,173  

Qatar Government (Qatar)
3.875% due 04/23/23 ~

    $300,000       299,833  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $46,751,595)

      43,087,604  
   

 

 

 

SHORT-TERM INVESTMENTS - 11.9%

   

Repurchase Agreements - 11.9%

   

BNP Paribas SA
4.860% due 04/03/23
(Dated 03/31/23, repurchase price of
$21,808,829; collateralized by U.S. Treasury
Notes: 2.750% due 04/30/27 and value $21,992,179)

    21,800,000       21,800,000  

4.820% due 04/04/23

(Dated 04/03/23, repurchase price of $4,100,549; collateralized by U.S. Treasury Notes: 0.130% due 10/15/26 and value $4,164,360)

    4,100,000       4,100,000  

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of
$4,682,764; collateralized by U.S. Treasury
Notes: 2.875% due 06/15/25 and value $4,774,684)

    4,681,028       4,681,028  

J.P. Morgan Securities LLC
4.880% due 04/04/23
(Dated 04/03/23, repurchase price of
$47,006,371; collateralized by U.S. Treasury
Notes: 1.250% due 11/30/26 and value $47,783,118)

    47,000,000       47,000,000  
   

 

 

 
      77,581,028  
   

 

 

 
   

Principal
Amount

   

Value

 

U.S. Treasury Bills - 0.0%

   

2.366% due 04/06/23

    $326,000       $325,875  
   

 

 

 

Total Short-Term Investments
(Cost $77,906,825)

 

    77,906,903  
   

 

 

 

TOTAL INVESTMENTS - 111.4%
(Cost $790,053,498)

 

    728,307,088  
   

 

 

 

DERIVATIVES - (0.6%)

      (4,154,714
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (10.8%)

 

    (70,275,797
   

 

 

 

NET ASSETS - 100.0%

      $653,876,577  
   

 

 

 

Notes to Schedule of Investments

 

(a)

The average amount of borrowings by the Fund on reverse repurchase agreements during the period ended March 31, 2023 was $2,907,945 at a weighted average interest rate of 4.561%. The average amount of borrowings by the Fund on sale-buyback financing transactions during the period ended March 31, 2023 was $20,494,136 at a weighted average interest rate of 4.485%.

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

40

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(b)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
     Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

Euro-Bund

     06/23        61        $8,850,552        $ 8,986,426        $135,874  

U.S. Treasury 2-Year Notes

     06/23        400        81,974,328        82,581,251        606,923  

U.S. Treasury 5-Year Notes

     06/23        33        3,543,161        3,613,758        70,597  

U.S. Treasury Ultra 10-Year Notes

     06/23        18        2,208,169        2,180,531        (27,638

U.S. Treasury Ultra Long Bonds

     06/23        74        10,235,996        10,443,250        207,254  
              

 

 

 
                 993,010  
              

 

 

 

Short Futures Outstanding

                                  

3-Month USD SOFR

     06/23        100        23,788,750        23,781,875        6,875  

3-Month USD SOFR

     12/23        271        64,596,238        64,630,113        (33,875

Australia Treasury 3-Year Bond

     06/23        16        1,147,537        1,163,805        (16,268

Euro-Bobl

     06/23        109        13,771,815        13,934,652        (162,837

Euro-BTP

     06/23        141        17,011,829        17,638,686        (626,857

Euro-Buxl

     06/23        51        7,300,853        7,790,895        (490,042

Euro-OAT

     06/23        42        5,742,362        5,931,846        (189,484

Euro-Schatz

     06/23        1,309        148,924,229        150,045,717        (1,121,488

Japan 10-Year Bonds

     06/23        59        64,777,364        65,818,716        (1,041,352

Short Euro-BTP

     06/23        65        7,346,432        7,427,794        (81,362

U.S. Treasury 10-Year Notes

     06/23        86        9,826,317        9,883,281        (56,964

U.S. Treasury 30-Year Bonds

     06/23        263        32,988,397        34,494,094        (1,505,697
              

 

 

 
                 (5,319,351
              

 

 

 

Total Futures Contracts

                 ($4,326,341
              

 

 

 

 

(c)

Forward foreign currency contracts outstanding as of March 31, 2023 were as follows:

 

Currency
Purchased
         Currency
Sold
          Settlement
Month
          Counterparty        Unrealized
Appreciation
    Unrealized
Depreciation
 
CAD      949,313       USD      700,548          04/23        TDB       $1,875       $-  
CAD      1,821,018       USD      1,339,378          04/23        UBS       8,045       -  
DKK      49,716,358       USD      7,222,016          04/23        BNP       15,402       -  
DKK      34,521,407       USD      5,031,175          04/23        CIT       -       (5,749
EUR      2,681,000       USD      2,861,956          04/23        CIT       45,588       -  
EUR      33,265,000       USD      35,999,383          04/23        DUB       76,506       -  
EUR      455,000       USD      494,008          04/23        HSB       -       (561
EUR      1,812,000       USD      1,928,684          04/23        HSB       36,429       -  
EUR      497,000       USD      541,209          05/23        BNP       -       (1,367
JPY      147,500,000       USD      1,113,804          04/23        BNP       -       (2,902
JPY      1,733,869,875       USD      13,227,570          04/23        DUB       -       (168,863
NZD      1,451,071       USD      902,276          04/23        BOA       5,079       -  
NZD      2,078,916       USD      1,286,641          04/23        TDB       13,305       -  
USD      2,041,102       CAD      2,768,930          04/23        TDB       -       (7,707
USD      700,548       CAD      948,922          05/23        TDB       -       (1,875
USD      1,339,378       CAD      1,820,288          05/23        UBS       -       (8,058
USD      5,717       DKK      40,000          04/23        BNP       -       (106
USD      7,574,082       DKK      53,114,878          04/23        BOA       -       (158,073
USD      8,243,018       DKK      57,994,002          04/23        CIT       -       (199,411
USD      7,222,016       DKK      49,623,916          05/23        BNP       -       (15,173
USD      3,923,361       DKK      26,824,683          05/23        BRC       11,229       -  
USD      5,031,175       DKK      34,456,757          05/23        CIT       5,976       -  
USD      1,380,252       EUR      1,293,000          04/23        BNP       -       (22,006
USD      5,846,422       EUR      5,467,000          04/23        HSB       -       (82,539
USD      32,441,947       EUR      30,556,000          04/23        UBS       -       (696,032
USD      36,057,131       EUR      33,265,000          05/23        DUB       -       (75,347
USD      1,967,160       GBP      1,629,000          04/23        HSB       -       (42,373
USD      2,016,547       GBP      1,629,000          05/23        UBS       5,842       -  
USD      550,363       JPY      73,000,000          04/23        BNP       561       -  
USD      2,206,956       JPY      297,700,628          04/23        HSB       -       (35,187
USD      209,527       JPY      28,508,279          04/23        MSC       -       (5,184
USD      10,903,841       JPY      1,480,176,788          04/23        TDB       -       (244,167
USD      13,227,570       JPY      1,726,892,332          05/23        DUB       168,827       -  
USD      2,434,992       NZD      3,919,882          04/23        BOA       -       (16,111
USD      902,273       NZD      1,451,071          05/23        BOA       -       (5,120
USD      1,286,652       NZD      2,078,916          05/23        TDB       -       (13,349
                       

 

 

   

 

 

 

Total Forward Foreign Currency Contracts

 

           $394,664       ($1,807,260
                       

 

 

   

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

41

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(d)

Purchased options outstanding as of March 31, 2023 were as follows:

Interest Rate Swaptions

 

Description  

Pay/Receive

Floating Rate

   

Floating Rate

Index

   

Exercise

Rate

   

Expiration

Date

   

Counter-

party

   

Notional

Amount

     Cost      Value  

Call - 5-Year Interest Rate Swap

    Pay       SOFR       2.200%       04/26/23       GSC       $7,500,000        $80,062        $1,256  

Call - 5-Year Interest Rate Swap

    Pay       SOFR       2.200%       05/31/23       MSC       21,400,000        256,800        20,763  
              

 

 

    

 

 

 
                 336,862        22,019  
              

 

 

    

 

 

 

Put - 30-Year Interest Rate Swap

    Receive       3-Month USD-LIBOR       2.237%       11/17/23       DUB       4,100,000        254,483        742,827  
              

 

 

    

 

 

 

Total Purchased Options

                 $591,345        $764,846  
              

 

 

    

 

 

 

 

(e)

Premiums received and value of written options outstanding as of March 31, 2023 were as follows:

Inflation Floor/Cap Options

 

Description    Initial
Index
     Floating Rate      Expiration
Date
     Counter-
party
     Notional
Amount
     Premium      Value  

Cap - U.S. CPI Urban Consumers

     233.92       

Maximum of [0, Final
Index/Initial Index -

(1.000+ 4.000%)^10]

 
 

 

     04/22/24        JPM        $13,400,000        $97,485        ($2

Cap - Eurostat Eurozone HICP

     117.20       

Maximum of [0, (Final
Index/Initial Index) -
(1+3.000%)^20)]
 
 
 
     06/22/35        GSC        EUR 2,200,000        100,087        (47,744
                 

 

 

    

 

 

 
                    $197,572        ($47,746
                 

 

 

    

 

 

 

Interest Rate Swaptions

 

Description   Pay/Receive
Floating Rate
   

Floating Rate

Index

    Exercise
Rate
    Expiration
Date
    Counter-
party
    Notional
Amount
    Premium     Value  

Call - 10-Year Interest Rate Swap

    Receive       6-Month EUR-LIBOR       2.920%       04/11/23       CIT       EUR 7,700,000       $155,023       ($37,185

Call - 10-Year Interest Rate Swap

    Receive       SOFR       2.350%       04/26/23       GSC       $4,200,000       82,935       (927

Call - 10-Year Interest Rate Swap

    Receive       SOFR       2.350%       05/31/23       MSC       11,700,000       254,915       (17,367

Call - 10-Year Interest Rate Swap

    Receive       6-Month EUR-LIBOR       2.067%       06/09/23       GSC       EUR 1,600,000       18,675       (2,496
             

 

 

   

 

 

 
                511,548       (57,975
             

 

 

   

 

 

 

Put - 10-Year Interest Rate Swap

    Pay       6-Month EUR-LIBOR       2.920%       04/11/23       CIT       7,700,000       155,023       (72,255

Put - 10-Year Interest Rate Swap

    Pay       6-Month EUR-LIBOR       3.140%       06/09/23       GSC       1,600,000       22,148       (18,907

Put - 5-Year Interest Rate Swap

    Pay       3-Month USD-LIBOR       2.340%       11/17/23       DUB       $20,200,000       254,520       (1,019,528
             

 

 

   

 

 

 
                431,691       (1,110,690
             

 

 

   

 

 

 

Total Interest Rate Swaptions

                $943,239       $1,168,665  
             

 

 

   

 

 

 

Options on Futures

 

Description   

Exercise

Price

    

Expiration

Date

     Exchange    Number of
Contracts
     Notional
Amount
     Premium      Value  

Call - U.S. Treasury 10-Year Notes

     $118.00        04/23/23      CME      9        $1,062,000        $5,773        ($1,688

Call - U.S. Treasury 10-Year Notes

     119.00        04/21/23      CME      16        1,904,000        14,628        (2,000
                 

 

 

    

 

 

 
                    20,401        (3,688
                 

 

 

    

 

 

 

Put - U.S. Treasury 10-Year Notes

     112.00        04/22/23      CME      16        1,792,000        8,568        (1,750

Put - U.S. Treasury 10-Year Notes

     112.50        04/21/23      CME      9        1,012,500        3,662        (1,406
                 

 

 

    

 

 

 
                    12,230        (3,156
                 

 

 

    

 

 

 

Total Options on Futures

                    $32,631        ($6,844
                 

 

 

    

 

 

 

Total Written Options

                    $1,173,442        ($1,223,255
                 

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

42

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(f)

Swap agreements outstanding as of March 31, 2023 were as follows:

Credit Default Swaps on Corporate Issues - Sell Protection (1)

Referenced Obligation    Payment
Frequency
  

Fixed Deal
Receive

Rate

     Expiration
Date
     Exchange   

Implied

Credit
Spread at
03/31/23 (2)

     Notional
Amount(3)
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 

General Electric Co.

   Q      1.000%        12/20/23      ICE      0.267%        $300,000        $1,672        $1,340        $332  
                    

 

 

    

 

 

    

 

 

 

 

  (1)

If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying investments comprising the referenced index or (ii) pay a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index.

  (2)

An implied credit spread is the spread in yield between a U.S. Treasury security and the referenced obligation or underlying investment that are identical in all respects except for the quality rating. Implied credit spreads, represented in the absolute terms, utilized in determining the value of credit default swaps on corporate issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood of risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter the agreement. Wider credit spreads, in comparison to narrower credit spreads, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement.

  (3)

The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

Interest Rate Swaps - Long

 

Receive    Pay    Payment
Frequency
Receive Rate/
Pay Rate
   Exchange    Expiration
Date
     Notional
Amount
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 
5.320%    U.S. CPI Urban Consumers    Z/Z    LCH      04/29/23        $1,500,000        ($10,989      ($9,587      ($1,402
5.150%    U.S. CPI Urban Consumers    Z/Z    LCH      05/23/23        4,400,000        (11,488      (5,016      (6,472
5.185%    U.S. CPI Urban Consumers    Z/Z    LCH      05/24/23        4,100,000        (8,139      (2,012      (6,127
(0.526%)    3-Month EUR-LIBOR    A/Q    LCH      11/21/23        EUR 16,000,000        (499,839      (406,008      (93,831
0.700%    6-Month EUR-LIBOR    A/S    LCH      04/11/27        700,000        (69,908      (71,904      1,996  
0.650%    6-Month EUR-LIBOR    A/S    LCH      04/12/27        1,400,000        (143,756      (146,611      2,855  
0.650%    6-Month EUR-LIBOR    A/S    LCH      05/11/27        900,000        (93,664      (95,906      2,242  
1.000%    6-Month EUR-LIBOR    A/S    LCH      05/13/27        1,600,000        (137,840      (148,192      10,352  
1.000%    6-Month EUR-LIBOR    A/S    LCH      05/18/27        700,000        (60,280      (64,959      4,679  
1.954%    U.S. CPI Urban Consumers    Z/Z    LCH      06/03/29        $2,350,000        (329,336      (305,429      (23,907
1.998%    U.S. CPI Urban Consumers    Z/Z    LCH      07/25/29        7,700,000        (1,030,443      (954,413      (76,030
1.760%    U.S. CPI Urban Consumers    Z/Z    LCH      11/04/29        3,100,000        (494,096      (462,962      (31,134
1.883%    U.S. CPI Urban Consumers    Z/Z    LCH      11/20/29        700,000        (103,595      (96,657      (6,938
1.380%    Eurostat Eurozone HICP    Z/Z    LCH      03/15/31        EUR 5,300,000        (1,182,697      (1,165,781      (16,916
2.879%    6-Month EUR-LIBOR    A/S    LCH      08/15/32        7,600,000        (41,270      -        (41,270
0.000%    6-Month EUR-LIBOR    A/S    LCH      11/04/32        9,200,000        (2,513,329      (2,467,362      (45,967
0.000%    6-Month EUR-LIBOR    A/S    LCH      11/08/32        8,300,000        (2,270,258      (2,228,873      (41,385
2.547%    6-Month EUR-LIBOR    A/S    LCH      03/09/33        1,300,000        (50,449      (65,475      15,026  
3.000%    6-Month EUR-LIBOR    A/S    LCH      09/20/33        4,900,000        30,401        (35,398      65,799  
3.085%    1-Day USD-SOFR    A/A    LCH      02/13/34        $21,200,000        110,153        (342,581      452,734  
2.488%    Eurostat Eurozone HICP    Z/Z    LCH      05/15/37        EUR1,620,000        (98,808      (101,271      2,463  
2.421%    Eurostat Eurozone HICP    Z/Z    LCH      05/15/52        240,000        (32,322      (30,243      (2,079
2.590%    Eurostat Eurozone HICP    Z/Z    LCH      12/15/52        900,000        (25,223      (20,415      (4,808
1.888%    3-Month USD-LIBOR    S/Q    LCH      11/21/53        $1,100,000        (263,550      (290,124      26,574  
                 

 

 

    

 

 

    

 

 

 
     ($9,330,725      ($9,517,179      $186,454  
                 

 

 

    

 

 

    

 

 

 

Interest Rate Swaps - Short

 

Pay    Receive    Payment
Frequency
Pay Rate/
Receive Rate
   Exchange    Expiration
Date
     Notional
Amount
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 
2.263%    U.S. CPI Urban Consumers    Z/Z    LCH      04/27/23        $5,320,000        $475,316        $468,963        $6,353  
2.263%    U.S. CPI Urban Consumers    Z/Z    LCH      05/09/23        1,150,000        103,795        102,030        1,765  
2.281%    U.S. CPI Urban Consumers    Z/Z    LCH      05/10/23        1,760,000        157,244        154,514        2,730  
0.550%    6-Month EUR-LIBOR    A/S    LCH      08/10/24        EUR 200,000        (8,507      (8,508      1  
2.314%    U.S. CPI Urban Consumers    Z/Z    LCH      02/26/26        $2,100,000            212,104           203,223        8,881  

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

43

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Pay    Receive    Payment
Frequency
Pay Rate/
Receive Rate
   Exchange      Expiration
Date
     Notional
Amount
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 
2.419%    U.S. CPI Urban Consumers    Z/Z      LCH        03/05/26        $ 2,800,000        $ 268,420        $ 255,476        $ 12,944  
2.768%    U.S. CPI Urban Consumers    Z/Z      LCH        05/13/26        1,700,000        127,945        118,816        9,129  
2.813%    U.S. CPI Urban Consumers    Z/Z      LCH        05/14/26        1,000,000        72,915        67,532        5,383  
2.703%    U.S. CPI Urban Consumers    Z/Z      LCH        05/25/26        1,210,000        93,915        86,786        7,129  
2.965%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/27        EUR 800,000        28,812        30,996        (2,184
3.000%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/27        1,300,000        44,350        47,984        (3,634
3.130%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/27        300,000        8,112        9,023        (911
1.798%    U.S. CPI Urban Consumers    Z/Z      LCH        08/25/27        $900,000        135,426        129,014        6,412  
1.890%    U.S. CPI Urban Consumers    Z/Z      LCH        08/27/27        1,000,000        143,999        136,950        7,049  
0.300%    1-Day JPY-TONAR    S/S      LCH        09/20/27        JPY 377,560,000        5,833        (4,347      10,180  
3.250%    3-Month NZD Bank Bills    S/Q      CME        03/21/28        NZD 3,500,000        114,596        149,437        (34,841
2.573%    U.S. CPI Urban Consumers    Z/Z      LCH        08/26/28        $400,000        26,826        23,914        2,912  
2.645%    U.S. CPI Urban Consumers    Z/Z      LCH        09/10/28        500,000        29,724        26,277        3,447  
1.840%    3-Month USD-LIBOR    S/Q      LCH        11/21/28        5,500,000        374,832        442,298        (67,466
2.311%    U.S. CPI Urban Consumers    Z/Z      LCH        02/24/31        5,100,000        583,370        535,506        47,864  
2.600%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/32        EUR 1,500,000        67,558        71,769        (4,211
2.720%    Eurostat Eurozone HICP    Z/Z      LCH        06/15/32        1,400,000        22,194        27,531        (5,337
2.470%    Eurostat Eurozone HICP    Z/Z      LCH        07/15/32        800,000        33,122        35,407        (2,285
0.190%    6-Month EUR-LIBOR    A/S      LCH        11/04/52        1,500,000        766,258        755,767        10,491  
0.195%    6-Month EUR-LIBOR    A/S      LCH        11/04/52        1,550,000        790,085        779,315        10,770  
0.197%    6-Month EUR-LIBOR    A/S      LCH        11/08/52        2,800,000        1,426,452        1,407,046        19,406  
2.500%    6-Month EUR-LIBOR    A/S      LCH        09/20/53        2,700,000        (21,432      15,991        (37,423
2.865%    1-Day USD-SOFR    A/A      LCH        02/13/54        $9,400,000        (50,303      240,548        (290,851
                 

 

 

    

 

 

    

 

 

 
                 $6,032,961        $6,309,258        ($276,297
                 

 

 

    

 

 

    

 

 

 

Total Interest Rate Swaps

              ($3,297,764      ($3,207,921      ($89,843
                 

 

 

    

 

 

    

 

 

 

Total Return Swaps - Long

 

Receive    Pay    Payment
Frequency
Receive Rate/
Pay Rate
   Counter-
party
   Expiration
Date
     Notional
Amount
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 
U.S. Treasury Inflation Protected Securities 0.375% due 07/15/23    4.770%    Z    MSC      04/21/23        $5,000,000        $45,223        $-        $45,223  
U.S. Treasury Inflation Protected Securities 0.625% due 01/15/24    4.770%    Z    MSC      04/21/23        15,000,000        155,698        -        155,698  
U.S. Treasury Inflation Protected Securities 0.500% due 04/15/24    4.770%    Z    MSC      04/21/23        5,000,000        39,403        -        39,403  
U.S. Treasury Inflation Protected Securities 0.125% due 10/15/24    4.770%    Z    MSC      04/21/23        10,000,000        65,249        -        65,249  
U.S. Treasury Inflation Protected Securities 0.250% due 01/15/25    4.770%    Z    MSC      04/21/23        10,000,000        96,467        -        96,467  
U.S. Treasury Inflation Protected Securities 0.125% due 04/15/25    4.770%    Z    MSC      04/21/23        15,000,000        107,412        -        107,412  
U.S. Treasury Inflation Protected Securities 0.375% due 01/15/27    4.770%    Z    MSC      04/21/23        20,000,000        105,809        -        105,809  
U.S. Treasury Inflation Protected Securities 0.375% due 07/15/27    4.770%    Z    MSC      04/21/23        30,000,000        177,909        -        177,909  
U.S. Treasury Inflation Protected Securities 0.125% due 07/15/31    4.770%    Z    MSC      04/21/23        20,000,000        110,323        -        110,323  
U.S. Treasury Inflation Protected Securities 0.625% due 01/15/26    4.930%    Z    MSC      06/06/23        10,000,000        143,711        -        143,711  
U.S. Treasury Inflation Protected Securities 0.750% due 07/15/28    4.930%    Z    MSC      06/06/23        25,000,000        498,078        -        498,078  
U.S. Treasury Inflation Protected Securities 0.125% due 01/15/32    4.930%    Z    MSC      06/06/23        30,000,000        586,861        -        586,861  
                 

 

 

    

 

 

    

 

 

 
     $2,132,143        $-        $2,132,143  
                 

 

 

    

 

 

    

 

 

 

Total Swap Agreements

 

     ($1,163,949      ($3,206,581      $2,042,632  
                 

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

44

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(g)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
    

Level 1

Quoted Price

    

Level 2

Significant

Observable Inputs

    

Level 3

Significant
Unobservable Inputs

 

Assets

 

Corporate Bonds & Notes

     $20,381,101        $-        $20,381,101        $-  
 

Mortgage-Backed Securities

     45,533,668        -        45,533,668        -  
 

Asset-Backed Securities

     61,698,105        -        61,698,105        -  
 

U.S. Treasury Obligations

     479,699,707        -        479,699,707        -  
 

Foreign Government Bonds & Notes

     43,087,604        -        43,087,604        -  
 

Short-Term Investments

     77,906,903        -        77,906,903        -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     332        -        332        -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     394,664        -        394,664        -  
 

Interest Rate Contracts

           
 

Futures

     1,027,523        1,027,523        -        -  
 

Purchased Options

     764,846        -        764,846        -  
 

Swaps

     2,889,709        -        2,889,709        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     4,682,078        1,027,523        3,654,555        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset - Derivatives

     5,077,074        1,027,523        4,049,551        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     733,384,162        1,027,523        732,356,639        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Sale-buyback Financing Transactions

     (232,410,918      -        (232,410,918      -  
 

Derivatives:

           
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     (1,807,260      -        (1,807,260      -  
 

Interest Rate Contracts

           
 

Futures

     (5,353,864      (5,353,864      -        -  
 

Written Options

     (1,223,255      -        (1,223,255      -  
 

Swaps

     (847,409      -        (847,409      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     (7,424,528      (5,353,864      (2,070,664      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities - Derivatives

     (9,231,788      (5,353,864      (3,877,924      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (241,642,706      (5,353,864      (236,288,842      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $491,741,456        ($4,326,341      $496,067,797        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

45

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 25.9%

 

Basic Materials - 0.5%

 

Anglo American Capital PLC (South Africa)
3.625% due 09/11/24 ~

    $1,200,000       $1,171,776  

CF Industries, Inc.
4.950% due 06/01/43

    960,000       829,592  

DuPont de Nemours, Inc.
5.319% due 11/15/38

    685,000       690,437  

Glencore Funding LLC (Australia)
2.500% due 09/01/30 ~

    760,000       637,070  

International Flavors & Fragrances, Inc.
2.300% due 11/01/30 ~

    1,126,000       904,439  

LYB International Finance III LLC
1.250% due 10/01/25

    329,000       298,228  

Nutrien Ltd. (Canada)
5.000% due 04/01/49

    375,000       344,717  

Steel Dynamics, Inc.
1.650% due 10/15/27

    750,000       644,423  

Vale Overseas Ltd. (Brazil)
3.750% due 07/08/30

    780,000       699,672  
   

 

 

 
    6,220,354  
   

 

 

 

Communications - 1.4%

   

Amazon.com, Inc.

   

3.875% due 08/22/37

    800,000       745,176  

3.950% due 04/13/52

    875,000       777,563  

AT&T, Inc.

   

2.750% due 06/01/31

    3,100,000       2,672,848  

3.550% due 09/15/55

    1,434,000       1,031,153  

Charter Communications Operating LLC/Charter Communications Operating Capital

 

2.800% due 04/01/31

    3,050,000       2,456,648  

3.500% due 06/01/41

    1,285,000       882,932  

3.700% due 04/01/51

    860,000       551,445  

Comcast Corp.

   

2.650% due 02/01/30

    1,500,000       1,336,859  

2.800% due 01/15/51

    736,000       497,859  

3.250% due 11/01/39

    1,970,000       1,600,707  

Corning, Inc.
5.750% due 08/15/40

    300,000       316,812  

Cox Communications, Inc.
2.950% due 10/01/50 ~

    555,000       356,581  

Deutsche Telekom AG (Germany)
3.625% due 01/21/50 ~

    700,000       544,164  

Discovery Communications LLC
3.625% due 05/15/30

    980,000       869,752  

Paramount Global
2.900% due 01/15/27

    575,000       524,340  

Verizon Communications, Inc.

   

2.650% due 11/20/40

    2,046,000       1,462,506  

3.700% due 03/22/61

    600,000       448,384  

Walt Disney Co.
2.650% due 01/13/31

    600,000       530,406  
   

 

 

 
    17,606,135  
   

 

 

 

Consumer, Cyclical - 2.4%

   

7-Eleven, Inc.

   

1.800% due 02/10/31 ~

    1,780,000       1,411,530  

2.500% due 02/10/41 ~

    283,000       191,403  

Alimentation Couche-Tard, Inc. (Canada)
3.625% due 05/13/51 ~

    875,000       614,008  

American Airlines Pass-Through Trust Class A
3.650% due 12/15/29

    1,165,590       1,008,778  

American Airlines Pass-Through Trust Class AA
3.200% due 12/15/29

    1,496,560       1,345,703  
   

Principal
Amount

   

Value

 

American Airlines Pass-Through Trust Class B
3.950% due 01/11/32

    $ 2,159,255       $ 1,900,202  

Delta Air Lines Pass-Through Trust Class A
2.500% due 12/10/29

    1,973,188       1,733,390  

Delta Air Lines Pass-Through Trust Class B
4.250% due 01/30/25

    475,742       471,262  

General Motors Financial Co., Inc.

   

1.200% due 10/15/24

    1,600,000       1,498,460  

3.800% due 04/07/25

    390,000       379,422  

4.350% due 01/17/27

    230,000       223,060  

Hasbro, Inc.
3.900% due 11/19/29

    682,000       621,443  

Home Depot, Inc.
4.950% due 09/15/52

    625,000       625,196  

Hyundai Capital America

   

1.300% due 01/08/26 ~

    1,825,000       1,639,705  

1.800% due 01/10/28 ~

    395,000       335,219  

2.650% due 02/10/25 ~

    600,000       572,544  

JetBlue Pass-Through Trust
7.750% due 05/15/30

    1,131,592       1,134,980  

Lear Corp.
2.600% due 01/15/32

    265,000       207,691  

Lennar Corp.
4.500% due 04/30/24

    195,000       192,723  

Lowe’s Cos., Inc.
4.500% due 04/15/30

    1,000,000       988,671  

MDC Holdings, Inc.
2.500% due 01/15/31

    530,000       412,697  

O’Reilly Automotive, Inc.
3.900% due 06/01/29

    1,135,000       1,083,960  

Starbucks Corp.

   

2.550% due 11/15/30

    2,000,000       1,741,623  

3.350% due 03/12/50

    565,000       421,837  

4.800% due 02/15/33

    1,200,000       1,211,845  

Stellantis Finance US, Inc.
1.711% due 01/29/27 ~

    791,000       700,292  

Tractor Supply Co.
1.750% due 11/01/30

    1,000,000       796,431  

United Airlines Pass-Through Trust Class A

   

3.100% due 04/07/30

    470,842       408,132  

3.700% due 09/01/31

    1,188,261       1,029,566  

United Airlines Pass-Through Trust Class B

   

3.650% due 04/07/27

    1,249,294       1,161,076  

3.650% due 07/07/27

    1,738,148       1,622,756  

Volkswagen Group of America Finance LLC (Germany)
1.250% due 11/24/25 ~

    1,500,000       1,365,402  
   

 

 

 
    29,051,007  
   

 

 

 

Consumer, Non-Cyclical - 3.4%

   

AbbVie, Inc.

   

3.200% due 11/21/29

    1,675,000       1,555,081  

4.050% due 11/21/39

    2,120,000       1,896,422  

4.250% due 11/21/49

    910,000       803,872  

Altria Group, Inc.
2.450% due 02/04/32

    835,000       657,926  

Amgen, Inc.

   

3.150% due 02/21/40

    1,125,000       883,696  

5.250% due 03/02/33

    995,000       1,022,806  

5.600% due 03/02/43

    1,260,000       1,299,118  

5.650% due 03/02/53

    535,000       557,318  

AstraZeneca PLC (United Kingdom)
6.450% due 09/15/37

    205,000       242,049  

Baptist Healthcare System Obligated Group
3.540% due 08/15/50

    540,000       407,974  

BAT Capital Corp. (United Kingdom)
2.259% due 03/25/28

    3,125,000       2,681,505  

Bon Secours Mercy Health, Inc.
3.205% due 06/01/50

    700,000       496,766  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

46

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Boston Scientific Corp.

   

4.550% due 03/01/39

    $ 167,000       $ 157,246  

6.750% due 11/15/35

    215,000       243,465  

Bristol-Myers Squibb Co.
4.125% due 06/15/39

    1,000,000       932,336  

Bunge Ltd. Finance Corp.
2.750% due 05/14/31

    805,000       685,186  

CommonSpirit Health

   

2.782% due 10/01/30

    1,065,000       905,885  

3.910% due 10/01/50

    650,000       505,006  

CVS Health Corp.

   

4.875% due 07/20/35

    850,000       830,104  

5.050% due 03/25/48

    430,000       402,682  

5.250% due 02/21/33

    900,000       918,902  

CVS Pass-Through Trust
4.163% due 08/11/36 ~

    485,040       440,096  

DH Europe Finance II SARL
3.250% due 11/15/39

    285,000       238,058  

Elevance Health, Inc.
2.250% due 05/15/30

    1,135,000       975,168  

Gilead Sciences, Inc.

   

1.650% due 10/01/30

    1,125,000       926,641  

2.600% due 10/01/40

    675,000       498,321  

Global Payments, Inc.

   

3.200% due 08/15/29

    1,234,000       1,086,580  

5.300% due 08/15/29

    285,000       281,733  

Haleon US Capital LLC
3.375% due 03/24/29

    300,000       276,911  

HCA, Inc.

   

5.250% due 06/15/26

    2,430,000       2,433,609  

5.500% due 06/15/47

    700,000       658,167  

Kellogg Co.
5.250% due 03/01/33

    775,000       795,913  

Keurig Dr Pepper, Inc.
3.200% due 05/01/30

    400,000       365,266  

Kraft Heinz Foods Co.

   

4.375% due 06/01/46

    360,000       313,951  

4.625% due 10/01/39

    640,000       587,331  

Kroger Co.
1.700% due 01/15/31

    1,300,000       1,035,036  

MedStar Health, Inc.
3.626% due 08/15/49

    520,000       379,965  

MultiCare Health System
2.803% due 08/15/50

    560,000       346,542  

MyMichigan Health
3.409% due 06/01/50

    1,000,000       723,857  

Nationwide Children’s Hospital, Inc.
4.556% due 11/01/52

    150,000       142,304  

PeaceHealth Obligated Group
3.218% due 11/15/50

    655,000       465,913  

Piedmont Healthcare, Inc.
2.864% due 01/01/52

    515,000       334,502  

Quanta Services, Inc.
2.350% due 01/15/32

    890,000       707,131  

Regeneron Pharmaceuticals, Inc.
1.750% due 09/15/30

    1,125,000       910,904  

Royalty Pharma PLC
2.150% due 09/02/31

    84,000       66,437  

S&P Global, Inc.
2.700% due 03/01/29

    853,000       776,419  

Smithfield Foods, Inc.
3.000% due 10/15/30 ~

    1,025,000       818,582  

Takeda Pharmaceutical Co. Ltd. (Japan)
3.025% due 07/09/40

    1,695,000       1,294,964  

Thermo Fisher Scientific, Inc.
2.000% due 10/15/31

    835,000       696,644  

Triton Container International Ltd. (Bermuda)
2.050% due 04/15/26 ~

    1,100,000       977,214  

Tyson Foods, Inc.
3.550% due 06/02/27

    850,000       811,169  

UnitedHealth Group, Inc.

   

2.750% due 05/15/40

    945,000       715,597  
   

Principal
Amount

   

Value

 

3.250% due 05/15/51

    $ 525,000       $ 395,192  

5.875% due 02/15/53

    420,000       472,824  

Universal Health Services, Inc.
2.650% due 10/15/30

    50,000       40,127  

University of Miami
4.063% due 04/01/52

    240,000       206,275  

Verisk Analytics, Inc.
5.750% due 04/01/33

    660,000       693,416  

Viatris, Inc.
3.850% due 06/22/40

    340,000       238,937  

Zoetis, Inc.
5.600% due 11/16/32

    715,000       763,038  
   

 

 

 
      41,976,079  
   

 

 

 

Energy - 1.9%

   

Aker BP ASA (Norway)
2.000% due 07/15/26 ~

    307,000       276,378  

BG Energy Capital PLC (United Kingdom)
5.125% due 10/15/41 ~

    280,000       273,069  

Boardwalk Pipelines LP
4.450% due 07/15/27

    480,000       468,064  

BP Capital Markets America, Inc.

   

3.633% due 04/06/30

    1,685,000       1,599,932  

4.812% due 02/13/33

    860,000       873,550  

Coterra Energy, Inc.
3.900% due 05/15/27

    495,000       472,774  

DT Midstream, Inc.
4.300% due 04/15/32 ~

    790,000       708,988  

Enbridge, Inc. (Canada)
5.700% due 03/08/33

    700,000       728,520  

Energy Transfer LP

   

3.900% due 07/15/26

    2,470,000       2,377,227  

4.150% due 09/15/29

    605,000       565,922  

6.100% due 02/15/42

    455,000       446,095  

Eni SpA (Italy)
4.000% due 09/12/23 ~

    590,000       585,261  

Enterprise Products Operating LLC
3.700% due 02/15/26

    740,000       722,973  

Exxon Mobil Corp.
4.114% due 03/01/46

    1,060,000       957,268  

Flex Intermediate Holdco LLC

   

3.363% due 06/30/31 ~

    475,000       390,768  

4.317% due 12/30/39 ~

    335,000       255,298  

Galaxy Pipeline Assets Bidco Ltd. (United Arab Emirates)
2.940% due 09/30/40 ~

    522,418       424,457  

Gray Oak Pipeline LLC
2.600% due 10/15/25 ~

    1,685,000       1,563,119  

HF Sinclair Corp.

   

2.625% due 10/01/23

    540,000       531,490  

5.875% due 04/01/26

    842,000       851,502  

Kinder Morgan, Inc.
5.050% due 02/15/46

    310,000       273,907  

MPLX LP
4.500% due 04/15/38

    580,000       516,062  

NGPL PipeCo LLC
3.250% due 07/15/31 ~

    860,000       730,665  

Phillips 66
5.300% due 06/30/33

    620,000       628,806  

Phillips 66 Co.
3.550% due 10/01/26 ~

    560,000       534,622  

Pioneer Natural Resources Co.
1.900% due 08/15/30

    760,000       619,176  

Sabine Pass Liquefaction LLC

   

4.500% due 05/15/30

    300,000       289,525  

5.625% due 03/01/25

    1,130,000       1,137,628  

Saudi Arabian Oil Co. (Saudi Arabia)
1.625% due 11/24/25 ~

    200,000       185,472  

Shell International Finance BV (Netherlands)
2.375% due 11/07/29

    1,135,000       1,007,424  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

47

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Suncor Energy, Inc. (Canada)
5.950% due 12/01/34

    $ 690,000       $ 713,230  

Targa Resources Corp.
4.200% due 02/01/33

    190,000       171,052  

TotalEnergies Capital International SA (France)
2.986% due 06/29/41

    1,130,000       885,581  
   

 

 

 
      22,765,805  
   

 

 

 

Financial - 10.6%

   

ABN AMRO Bank NV (Netherlands)
2.470% due 12/13/29 ~

    400,000       336,593  

AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)

   

2.450% due 10/29/26

    470,000       422,414  

3.300% due 01/30/32

    550,000       456,056  

4.500% due 09/15/23

    1,000,000       990,671  

6.500% due 07/15/25

    300,000       302,414  

AIB Group PLC (Ireland)
4.263% due 04/10/25 ~

    600,000       587,455  

Air Lease Corp.

   

2.875% due 01/15/26

    610,000       569,184  

3.375% due 07/01/25

    2,555,000       2,436,241  

Alexandria Real Estate Equities, Inc. REIT
3.375% due 08/15/31

    1,130,000       1,003,521  

American International Group, Inc.
4.375% due 06/30/50

    770,000       658,850  

American Tower Corp. REIT

   

2.950% due 01/15/51

    229,000       146,902  

3.100% due 06/15/50

    351,000       230,834  

Athene Global Funding

   

0.950% due 01/08/24 ~

    772,000       739,210  

1.450% due 01/08/26 ~

    905,000       802,077  

2.500% due 01/14/25 ~

    1,418,000       1,339,127  

2.500% due 03/24/28 ~

    885,000       745,788  

Australia & New Zealand Banking Group Ltd. (Australia)
4.400% due 05/19/26 ~

    1,140,000       1,101,934  

Aviation Capital Group LLC
5.500% due 12/15/24 ~

    1,000,000       988,019  

Avolon Holdings Funding Ltd. (Ireland)

   

2.125% due 02/21/26 ~

    305,000       271,388  

2.528% due 11/18/27 ~

    5,605,000       4,747,894  

4.250% due 04/15/26 ~

    765,000       720,117  

Banco Santander SA (Spain)

   

1.722% due 09/14/27

    200,000       174,786  

1.849% due 03/25/26

    2,000,000       1,795,897  

5.147% due 08/18/25

    400,000       393,004  

Bank of America Corp.

   

1.197% due 10/24/26

    1,385,000       1,244,989  

2.676% due 06/19/41

    1,900,000       1,345,755  

3.705% due 04/24/28

    6,445,000       6,097,499  

4.376% due 04/27/28

    740,000       716,401  

5.080% due 01/20/27

    900,000       897,874  

Bank of Ireland Group PLC (Ireland)

   

2.029% due 09/30/27 ~

    1,212,000       1,050,018  

6.253% due 09/16/26 ~

    903,000       898,500  

Bank of Nova Scotia (Canada)
4.850% due 02/01/30

    1,081,000       1,068,425  

Banque Federative du Credit Mutuel SA (France)
1.604% due 10/04/26 ~

    1,365,000       1,199,417  

Barclays PLC (United Kingdom)

   

1.007% due 12/10/24

    1,341,000       1,292,606  

2.894% due 11/24/32

    358,000       287,334  

Berkshire Hathaway Finance Corp.
3.850% due 03/15/52

    1,285,000       1,078,399  

BNP Paribas SA (France)

   

1.904% due 09/30/28 ~

    550,000       468,178  

2.159% due 09/15/29 ~

    874,000       729,225  

BPCE SA (France)

   

1.652% due 10/06/26 ~

    1,670,000       1,501,870  
   

Principal
Amount

   

Value

 

3.116% due 10/19/32 ~

    $ 660,000       $ 495,364  

5.975% due 01/18/27 ~

    1,810,000       1,807,074  

Brixmor Operating Partnership LP REIT

   

2.250% due 04/01/28

    400,000       343,659  

2.500% due 08/16/31

    260,000       201,139  

4.125% due 05/15/29

    600,000       550,204  

Brookfield Finance, Inc. (Canada)
3.500% due 03/30/51

    1,200,000       801,036  

Brown & Brown, Inc.
2.375% due 03/15/31

    1,125,000       900,129  

Camden Property Trust REIT
3.150% due 07/01/29

    1,100,000       979,169  

Capital One Financial Corp.
3.800% due 01/31/28

    1,930,000       1,772,039  

Citigroup, Inc.

   

2.520% due 11/03/32

    225,000       183,330  

3.057% due 01/25/33

    1,909,000       1,616,917  

3.520% due 10/27/28

    1,140,000       1,066,500  

Commonwealth Bank of Australia (Australia)
3.305% due 03/11/41 ~

    660,000       466,671  

Corebridge Financial, Inc.

   

3.650% due 04/05/27 ~

    985,000       924,053  

3.850% due 04/05/29 ~

    270,000       246,783  

Credit Agricole SA (France)

   

2.811% due 01/11/41 ~

    250,000       167,200  

4.375% due 03/17/25 ~

    1,125,000       1,081,444  

Credit Suisse AG (Switzerland)

   

1.250% due 08/07/26

    925,000       782,781  

3.700% due 02/21/25

    500,000       475,215  

7.950% due 01/09/25

    1,117,000       1,136,838  

Credit Suisse Group AG (Switzerland)

   

2.593% due 09/11/25 ~

    339,000       314,829  

3.091% due 05/14/32 ~

    745,000       600,820  

4.282% due 01/09/28 ~

    1,135,000       1,025,756  

Crown Castle, Inc. REIT
2.900% due 04/01/41

    2,000,000       1,428,260  

Danske Bank AS (Denmark)
6.466% due 01/09/26 ~

    460,000       460,739  

Deutsche Bank AG (Germany)

   

2.129% due 11/24/26

    1,220,000       1,052,397  

6.720% due 01/18/29

    365,000       362,743  

DNB Bank ASA (Norway)
1.605% due 03/30/28 ~

    805,000       704,207  

Empower Finance 2020 LP (Canada)
3.075% due 09/17/51 ~

    625,000       408,559  

Equinix, Inc. REIT
2.900% due 11/18/26

    840,000       781,688  

F&G Global Funding
1.750% due 06/30/26 ~

    460,000       413,983  

Federal Realty Investment Trust REIT
1.250% due 02/15/26

    785,000       716,857  

Federation des Caisses Desjardins du Quebec (Canada)

 

 

4.400% due 08/23/25 ~

    745,000       727,180  

5.700% due 03/14/28 ~

    800,000       820,058  

Goldman Sachs Group, Inc.

   

1.431% due 03/09/27

    925,000       828,572  

1.948% due 10/21/27

    2,713,000       2,426,393  

2.640% due 02/24/28

    716,000       653,775  

3.691% due 06/05/28

    1,785,000       1,692,584  

4.250% due 10/21/25

    1,850,000       1,796,699  

Healthcare Realty Holdings LP REIT
2.000% due 03/15/31

    1,125,000       879,165  

Healthpeak OP LLC REIT

   

2.125% due 12/01/28

    813,000       705,938  

2.875% due 01/15/31

    1,130,000       970,891  

HSBC Holdings PLC (United Kingdom)

   

2.013% due 09/22/28

    4,175,000       3,579,854  

2.206% due 08/17/29

    495,000       415,420  

Huntington National Bank
5.650% due 01/10/30

    1,293,000       1,240,057  

ING Groep NV (Netherlands)
1.726% due 04/01/27

    675,000       600,349  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

48

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

KeyCorp
4.789% due 06/01/33

    $ 115,000       $ 103,069  

Life Storage LP REIT
2.400% due 10/15/31

    1,230,000       992,881  

Lloyds Banking Group PLC (United Kingdom)

   

1.627% due 05/11/27

    590,000       519,006  

4.716% due 08/11/26

    1,150,000       1,120,508  

LSEGA Financing PLC (United Kingdom)
2.000% due 04/06/28 ~

    1,160,000       996,601  

Macquarie Group Ltd. (Australia)

   

1.340% due 01/12/27 ~

    1,075,000       960,064  

2.871% due 01/14/33 ~

    600,000       486,507  

6.207% due 11/22/24 ~

    2,736,000       2,781,923  

Mitsubishi UFJ Financial Group, Inc. (Japan)

 

 

1.538% due 07/20/27

    500,000       442,860  

3.741% due 03/07/29

    2,065,000       1,933,454  

5.441% due 02/22/34

    560,000       566,249  

Mizuho Financial Group, Inc. (Japan)

   

1.234% due 05/22/27

    515,000       453,622  

5.414% due 09/13/28

    2,440,000       2,452,359  

Morgan Stanley

   

2.475% due 01/21/28

    1,600,000       1,462,946  

3.217% due 04/22/42

    805,000       622,482  

4.457% due 04/22/39

    855,000       782,595  

5.123% due 02/01/29

    440,000       443,838  

Natwest Group PLC (United Kingdom)

   

4.445% due 05/08/30

    515,000       484,017  

4.892% due 05/18/29

    1,400,000       1,345,484  

NatWest Markets PLC (United Kingdom)
1.600% due 09/29/26 ~

    1,000,000       873,998  

New York Life Insurance Co.
3.750% due 05/15/50 ~

    1,140,000       922,731  

Nordea Bank Abp (Finland)
5.375% due 09/22/27 ~

    580,000       583,181  

Northwestern Mutual Global Funding
1.700% due 06/01/28 ~

    490,000       422,078  

Physicians Realty LP REIT
2.625% due 11/01/31

    315,000       248,489  

PNC Financial Services Group, Inc.
5.068% due 01/24/34

    503,000       496,615  

Public Storage REIT

   

1.950% due 11/09/28

    382,000       335,793  

2.250% due 11/09/31

    320,000       265,766  

Realty Income Corp. REIT

   

1.800% due 03/15/33

    705,000       524,222  

4.850% due 03/15/30

    810,000       798,784  

Sabra Health Care LP REIT
3.200% due 12/01/31

    515,000       378,292  

Santander UK Group Holdings PLC (United Kingdom)

 

 

1.532% due 08/21/26

    1,000,000       893,013  

1.673% due 06/14/27

    560,000       488,016  

6.534% due 01/10/29

    1,400,000       1,424,630  

6.833% due 11/21/26

    706,000       715,750  

Scentre Group Trust 1/Scentre Group Trust 2 REIT (Australia)
3.625% due 01/28/26 ~

    1,225,000       1,173,980  

Societe Generale SA (France)

   

1.792% due 06/09/27 ~

    455,000       394,948  

4.250% due 04/14/25 ~

    1,935,000       1,816,120  

Standard Chartered PLC (United Kingdom)

   

1.214% due 03/23/25 ~

    2,520,000       2,414,210  

1.456% due 01/14/27 ~

    565,000       496,830  

Sumitomo Mitsui Financial Group, Inc. (Japan)
5.520% due 01/13/28

    1,600,000       1,627,903  

Teachers Insurance & Annuity Association of America
3.300% due 05/15/50 ~

    555,000       401,291  

Truist Financial Corp.
5.122% due 01/26/34

    520,000       507,554  

UBS Group AG (Switzerland)

   

1.494% due 08/10/27 ~

    250,000       215,541  
   

Principal
Amount

   

Value

 

2.095% due 02/11/32 ~

    $ 1,320,000       $ 1,025,663  

4.703% due 08/05/27 ~

    835,000       800,053  

UDR, Inc. REIT

   

1.900% due 03/15/33

    185,000       138,530  

2.100% due 08/01/32

    1,130,000       873,542  

UniCredit SpA (Italy)

   

1.982% due 06/03/27 ~

    1,440,000       1,258,210  

5.861% due 06/19/32 ~

    315,000       278,080  

Wells Fargo & Co.

   

2.393% due 06/02/28

    1,600,000       1,441,804  

4.611% due 04/25/53

    780,000       692,915  

Welltower OP LLC REIT
2.800% due 06/01/31

    1,200,000       997,893  

Westpac Banking Corp. (Australia)

   

3.133% due 11/18/41

    541,000       373,422  

5.405% due 08/10/33

    780,000       746,260  

WP Carey, Inc. REIT

   

2.250% due 04/01/33

    325,000       247,975  

2.400% due 02/01/31

    1,130,000       923,408  
   

 

 

 
      130,610,139  
   

 

 

 

Industrial - 1.3%

   

BAE Systems PLC (United Kingdom)
3.400% due 04/15/30 ~

    935,000       858,908  

Boeing Co.

   

2.700% due 02/01/27

    2,115,000       1,949,756  

2.750% due 02/01/26

    162,000       153,817  

3.100% due 05/01/26

    2,537,000       2,404,253  

CRH America, Inc. ()
3.875% due 05/18/25 ~

    450,000       437,887  

CSX Corp.
3.800% due 11/01/46

    1,000,000       822,762  

Graphic Packaging International LLC
1.512% due 04/15/26 ~

    594,000       529,833  

Kansas City Southern
4.700% due 05/01/48

    1,500,000       1,377,592  

Masco Corp.
2.000% due 10/01/30

    1,125,000       900,006  

Norfolk Southern Corp.
3.050% due 05/15/50

    400,000       277,947  

Northrop Grumman Corp.
3.850% due 04/15/45

    1,120,000       940,604  

Otis Worldwide Corp.
3.112% due 02/15/40

    500,000       388,424  

Penske Truck Leasing Co. LP/PTL Finance Corp.
1.200% due 11/15/25 ~

    1,365,000       1,227,874  

Raytheon Technologies Corp.

   

2.250% due 07/01/30

    975,000       835,790  

3.750% due 11/01/46

    1,530,000       1,267,829  

5.150% due 02/27/33

    604,000       628,933  

Siemens Financieringsmaatschappij NV (Denmark)
3.300% due 09/15/46 ~

    860,000       678,737  

Union Pacific Corp.
3.550% due 08/15/39

    765,000       650,674  
   

 

 

 
      16,331,626  
   

 

 

 

Technology - 1.7%

   

Analog Devices, Inc.
2.800% due 10/01/41

    259,000       197,940  

Apple, Inc.
3.950% due 08/08/52

    2,000,000       1,795,266  

Broadcom, Inc.

   

1.950% due 02/15/28 ~

    2,800,000       2,437,279  

3.187% due 11/15/36 ~

    148,000       112,282  

CGI, Inc. (Canada)
2.300% due 09/14/31

    925,000       732,916  

Dell International LLC/EMC Corp.
6.200% due 07/15/30

    695,000       725,180  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

49

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Intel Corp.

   

4.900% due 08/05/52

    $ 780,000       $ 727,458  

5.625% due 02/10/43

    160,000       164,110  

5.700% due 02/10/53

    270,000       275,869  

KLA Corp.
3.300% due 03/01/50

    1,455,000       1,114,007  

Leidos, Inc.
2.300% due 02/15/31

    1,185,000       962,266  

Microchip Technology, Inc.

   

0.983% due 09/01/24

    186,000       175,640  

2.670% due 09/01/23

    218,000       214,972  

NXP BV/NXP Funding LLC/NXP USA, Inc. (China)

 

 

2.500% due 05/11/31

    1,870,000       1,547,082  

3.250% due 05/11/41

    895,000       653,069  

Oracle Corp.

   

3.800% due 11/15/37

    575,000       478,083  

3.950% due 03/25/51

    645,000       486,306  

4.900% due 02/06/33

    850,000       832,900  

5.550% due 02/06/53

    600,000       571,981  

QUALCOMM, Inc.
4.500% due 05/20/52

    300,000       279,918  

Roper Technologies, Inc.
1.750% due 02/15/31

    825,000       659,991  

Take-Two Interactive Software, Inc.
3.700% due 04/14/27

    886,000       857,494  

TSMC Global Ltd. (Taiwan)
1.375% due 09/28/30 ~

    1,385,000       1,106,587  

VMware, Inc.

   

1.400% due 08/15/26

    1,028,000       909,782  

4.700% due 05/15/30

    2,415,000       2,345,623  
   

 

 

 
      20,364,001  
   

 

 

 

Utilities - 2.7%

   

Alexander Funding Trust
1.841% due 11/15/23 ~

    800,000       776,233  

APA Infrastructure Ltd. (Australia)
4.200% due 03/23/25 ~

    450,000       441,035  

Atmos Energy Corp.
1.500% due 01/15/31

    705,000       563,277  

CenterPoint Energy Resources Corp.
1.750% due 10/01/30

    560,000       453,119  

Commonwealth Edison Co.
3.650% due 06/15/46

    1,300,000       1,032,057  

Constellation Energy Generation LLC

   

3.250% due 06/01/25

    2,330,000       2,247,692  

5.800% due 03/01/33

    819,000       845,386  

Consumers Energy Co.
3.250% due 08/15/46

    265,000       198,644  

Dominion Energy, Inc.
3.300% due 04/15/41

    1,000,000       772,501  

DTE Electric Co.
3.250% due 04/01/51

    500,000       372,677  

Duke Energy Corp.
3.750% due 09/01/46

    1,500,000       1,168,776  

Duke Energy Indiana LLC
3.250% due 10/01/49

    395,000       289,661  

Duquesne Light Holdings, Inc.
2.775% due 01/07/32 ~

    800,000       646,977  

Edison International
5.750% due 06/15/27

    255,000       260,652  

Emera US Finance LP (Canada)
4.750% due 06/15/46

    550,000       447,046  

Entergy Arkansas LLC
2.650% due 06/15/51

    995,000       645,761  

Entergy Louisiana LLC

   

2.900% due 03/15/51

    260,000       177,497  

4.000% due 03/15/33

    430,000       402,949  

Evergy, Inc.
2.900% due 09/15/29

    1,160,000       1,040,625  

Fells Point Funding Trust
3.046% due 01/31/27 ~

    1,370,000       1,272,309  
   

Principal
Amount

   

Value

 

FirstEnergy Transmission LLC
4.550% due 04/01/49 ~

    $ 525,000       $ 442,640  

Fortis, Inc. (Canada)
3.055% due 10/04/26

    750,000       704,472  

ITC Holdings Corp.

   

2.950% due 05/14/30 ~

    360,000       317,347  

4.950% due 09/22/27 ~

    992,000       998,610  

Jersey Central Power & Light Co.
4.300% due 01/15/26 ~

    1,130,000       1,109,962  

NiSource, Inc.
5.250% due 03/30/28

    1,094,000       1,113,726  

NRG Energy, Inc.

   

2.000% due 12/02/25 ~

    430,000       387,632  

2.450% due 12/02/27 ~

    1,020,000       873,460  

Pacific Gas and Electric Co.

   

1.700% due 11/15/23

    420,000       409,831  

2.950% due 03/01/26

    1,490,000       1,387,553  

3.450% due 07/01/25

    475,000       453,127  

3.750% due 08/15/42

    191,000       135,921  

4.300% due 03/15/45

    325,000       245,085  

PacifiCorp
4.150% due 02/15/50

    450,000       386,196  

PG&E Recovery Funding LLC
5.536% due 07/15/49

    975,000       1,037,006  

PG&E Wildfire Recovery Funding LLC

   

4.263% due 06/01/38

    325,000       315,056  

5.099% due 06/01/54

    415,000       423,484  

5.212% due 12/01/49

    225,000       231,177  

Public Service Co. of Oklahoma
5.250% due 01/15/33

    930,000       949,712  

Puget Energy, Inc.
2.379% due 06/15/28

    330,000       290,963  

San Diego Gas & Electric Co.
2.950% due 08/15/51

    1,100,000       766,902  

Southern California Edison Co.

   

1.200% due 02/01/26

    540,000       486,419  

4.125% due 03/01/48

    1,290,000       1,069,848  

Southern California Gas Co.
6.350% due 11/15/52

    600,000       692,364  

Southern Co. Gas Capital Corp.
4.400% due 06/01/43

    1,000,000       845,858  

Southern Power Co.
5.150% due 09/15/41

    895,000       843,360  

Union Electric Co.
3.900% due 04/01/52

    520,000       437,634  

Vistra Operations Co. LLC
4.875% due 05/13/24 ~

    1,063,000       1,048,712  

WEC Energy Group, Inc.
1.375% due 10/15/27

    615,000       533,704  
   

 

 

 
      32,992,635  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $357,610,174)

      317,917,781  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 32.8%

 

Collateralized Mortgage Obligations - Commercial - 3.6%

 

ACRE Commercial Mortgage Ltd.

   

5.591% (USD LIBOR + 0.830%)

due 12/18/37 § ~

    977,336       961,491  

6.161% (USD LIBOR + 1.400%)

due 12/18/37 § ~

    1,198,000       1,163,171  

BAMLL RE-Remic Trust
2.007% due 11/26/47 § ~

    1,955,000       1,788,549  

BPR Trust
6.192% (SOFR + 1.364%)
due 02/15/29 § ~

    1,790,000       1,749,599  

Commercial Mortgage Trust
2.321% due 01/10/38 § ~

    1,600,000       1,405,996  

Fannie Mae

   

1.707% due 11/25/31 §

    3,500,000       2,850,117  

2.593% due 06/25/32 §

    4,798,000       4,220,283  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

50

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates
3.820% due 12/25/32 §

    $ 2,900,000       $ 2,811,241  

Freddie Mac
6.360% (SOFR + 1.800%)
due 07/25/41 § ~

    3,675,891       3,354,799  

Freddie Mac (IO)

   

1.195% due 11/25/30 §

    18,945,000       1,412,338  

1.211% due 10/25/30 §

    15,300,000       1,151,501  

1.364% due 12/25/29 §

    8,830,000       560,821  

Freddie Mac Multifamily Structured Pass-Through Certificates

 

1.981% due 12/25/31 §

    3,800,000       3,170,443  

2.920% due 06/25/32

    2,100,000       1,894,541  

FREMF Mortgage Trust

   

3.576% due 01/25/26 § ~

    2,100,000       1,957,711  

3.881% due 01/25/50 § ~

    2,385,000       2,258,674  

4.053% due 04/25/48 § ~

    2,000,000       1,923,339  

4.156% due 08/25/47 § ~

    2,000,000       1,957,283  

FRR RE REMIC Trust
0.422% due 10/27/46 § ~

    2,400,000       2,357,676  

MHC Commercial Mortgage Trust
6.785% (USD LIBOR + 2.101%)
due 04/15/38 § ~

    750,000       705,324  

PFP Ltd. (Cayman)
6.128% (USD LIBOR + 1.400%)
due 04/14/38 § ~

    1,570,922       1,477,464  

SLG Office Trust
2.585% due 07/15/41 ~

    2,470,000       1,974,501  

Wells Fargo Commercial Mortgage Trust 5.834% (USD LIBOR + 1.150%)
due 02/15/40 § ~

    1,099,916       1,042,372  
   

 

 

 
      44,149,234  
   

 

 

 

Collateralized Mortgage Obligations - Residential - 5.1%

 

Ajax Mortgage Loan Trust
2.239% due 06/25/66 § ~

    1,314,653       1,236,486  

Anchor Mortgage Trust
2.600% due 10/25/26 ~

    2,156,026       2,094,825  

ANTLR Mortgage Trust
2.115% due 11/25/24 § ~

    1,864,000       1,833,286  

CFMT LLC

   

0.946% due 12/26/30 § ~

    689,744       672,919  

1.374% due 02/25/31 § ~

    3,815,000       3,609,335  

Credit Suisse Mortgage Trust
3.023% due 08/25/60 § ~

    1,559,741       1,516,804  

CSMC Trust
1.668% due 09/27/60 § ~

    2,564,762       2,456,231  

Fannie Mae REMICS
3.500% due 11/25/57

    4,045,883       3,876,716  

Freddie Mac
2.000% due 12/25/51

    2,389,216       2,103,794  

Freddie Mac REMICS

   

1.500% due 01/25/51

    2,867,723       2,340,513  

3.500% due 01/15/48

    4,777,666       4,275,694  

Government National Mortgage Association 5.846% (USD LIBOR+1.280%)
due 01/20/71 - 02/20/71 §

    8,002,395       8,007,852  

Government National Mortgage Association (IO) 0.777% due 03/20/71 §

    40,247,143       1,296,912  

LHOME Mortgage Trust
2.090% due 02/25/26 § ~

    1,000,000       977,708  

PRPM LLC

   

2.115% due 01/25/26 § ~

    1,378,049       1,302,063  

2.115% due 03/25/26 § ~

    929,863       881,562  

Seasoned Credit Risk Transfer Trust

   

2.000% due 05/25/60

    5,383,012       4,538,383  

3.000% due 05/25/60

    10,739,948       9,894,102  

3.250% due 11/25/61

    1,674,240       1,509,016  
   

Principal
Amount

   

Value

 

3.500% due 11/25/57

    $ 2,407,763       $ 2,249,599  

Towd Point Mortgage Trust

   

2.918% due 11/30/60 § ~

    3,336,638       2,722,470  

4.000% due 11/25/47 § ~

    686,699       666,624  

Trillion Capital III
9.120% (SOFR+1.300%)
due 04/06/23 W ±

    3,604,172       3,604,172  
   

 

 

 
      63,667,066  
   

 

 

 

Fannie Mae - 16.2%

   

0.970% due 07/01/27

    5,640,504       4,942,096  

1.090% due 04/01/28

    2,889,000       2,494,439  

1.275% due 04/01/30

    3,628,535       3,004,235  

1.370% due 03/01/30

    3,598,381       3,020,150  

1.410% due 12/01/30

    10,170,000       8,320,730  

1.440% due 01/01/31

    1,400,000       1,146,111  

1.460% due 12/01/30

    5,000,000       4,107,404  

1.560% due 01/01/31

    2,700,000       2,232,051  

1.754% due 03/01/32 §

    3,298,754       2,714,300  

1.815% due 01/01/31

    1,019,811       867,900  

1.870% due 05/01/31

    6,400,000       5,384,079  

1.960% due 09/01/33

    3,750,000       3,024,843  

2.010% due 01/01/32

    2,200,000       1,855,788  

2.140% due 12/01/33

    2,550,000       2,135,760  

2.160% due 12/01/33

    3,100,000       2,601,180  

2.290% due 01/01/37

    4,025,997       3,306,335  

2.320% due 02/01/35

    1,912,000       1,564,570  

2.500% due 01/01/52 - 03/01/62

    9,762,537       8,266,483  

2.510% due 10/01/30

    2,730,000       2,437,510  

2.550% due 10/01/30

    905,000       816,330  

3.000% due 05/01/47 - 06/01/62

    25,595,666       23,035,783  

3.040% due 07/01/32

    1,742,462       1,605,412  

3.080% due 05/01/32

    1,875,000       1,715,567  

3.140% due 07/01/32

    1,710,000       1,587,270  

3.190% due 07/01/33

    1,031,508       954,795  

3.260% due 02/01/31

    800,000       748,895  

3.500% due 01/01/50 - 03/01/60

    7,892,584       7,427,347  

3.510% due 09/01/32

    5,000,000       4,727,822  

3.540% due 10/01/32

    2,697,172       2,572,966  

3.610% due 01/01/37

    2,539,884       2,443,603  

3.650% due 10/01/32

    4,566,000       4,366,817  

3.670% due 09/01/32

    546,000       519,565  

3.700% due 10/01/32

    3,958,878       3,803,148  

3.730% due 10/01/32

    4,916,406       4,733,043  

3.750% due 09/01/32

    2,610,000       2,519,399  

3.790% due 12/01/30

    2,610,000       2,540,760  

3.800% due 09/01/32

    2,210,061       2,140,082  

3.805% due 11/01/32

    1,470,000       1,423,864  

3.810% due 10/01/32

    3,930,000       3,808,291  

3.830% due 09/01/32

    2,500,000       2,426,729  

3.870% due 03/01/30

    4,592,000       4,510,809  

3.895% due 02/01/33

    3,600,000       3,512,966  

3.910% due 08/01/32

    1,300,000       1,266,115  

4.000% due 10/01/43 - 04/01/52

    4,471,914       4,319,182  

4.090% due 09/01/31 - 02/01/34

    4,484,000       4,385,901  

4.210% due 02/01/33

    3,000,000       2,992,458  

4.510% due 10/01/32

    4,160,000       4,239,196  

4.550% due 10/01/32

    1,030,000       1,054,344  

4.600% due 10/01/32

    4,000,000       4,108,435  

4.900% due 12/01/32

    3,045,000       3,204,357  

5.000% due 12/01/49 - 12/01/61

    14,739,180       14,902,680  

5.500% due 09/01/52 - 05/01/58

    7,755,235       7,979,924  

6.000% due 12/01/61

    2,832,704       3,004,921  
   

 

 

 
      198,824,740  
   

 

 

 

Freddie Mac - 0.9%

   

3.000% due 10/01/51 - 02/01/52

    4,870,794       4,412,526  

3.500% due 04/01/37

    1,256,961       1,216,021  

3.700% due 06/01/34

    5,000,000       4,757,028  
   

 

 

 
      10,385,575  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

51

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Government National Mortgage Association - 7.0%

 

2.500% due 10/20/45 - 10/20/50

    $ 3,150,516       $ 2,760,848  

2.816% due 07/20/71 §

    2,551,689       2,294,129  

2.930% due 10/20/70 §

    1,907,132       1,716,570  

3.000% due 08/20/50 - 03/20/52

    5,034,942       4,574,990  

3.073% due 09/20/70 §

    5,716,569       5,244,342  

3.093% due 12/20/71 §

    2,973,584       2,705,955  

3.500% due 10/20/50 - 03/20/52

    18,214,497       17,087,344  

4.000% due 12/20/51 - 03/20/52

    4,676,727       4,533,015  

4.500% due 07/20/52 - 09/20/52

    10,017,938       9,939,937  

5.000% due 07/20/52 - 09/15/52

    14,666,622       14,881,575  

5.500% due 09/20/52

    2,000,567       2,025,291  

6.343% (UST + 1.705%)

due 03/20/72 §

    2,002,138       2,084,842  

6.374% (UST + 1.729%)

due 02/20/72 §

    1,947,547       2,027,290  

6.381% (UST + 1.735%)

due 10/20/71 §

    2,518,835       2,618,179  

6.449% (UST + 1.830%)

due 07/20/72 §

    3,550,041       3,733,321  

6.471% (UST + 1.836%)

due 08/20/71 §

    2,345,134       2,448,868  

6.565% (UST + 1.922%)

due 08/20/72 §

    4,475,388       4,703,331  
   

 

 

 
      85,379,827  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $433,222,251)

      402,406,442  
   

 

 

 

ASSET-BACKED SECURITIES - 13.3%

   

American Credit Acceptance Receivables Trust
5.830% due 10/13/28 ~

    1,617,000       1,580,069  

American Homes 4 Rent Trust
5.885% due 04/17/52 ~

    2,135,000       2,104,301  

AmeriCredit Automobile Receivables Trust 1.210% due 12/18/26

    3,060,000       2,787,436  

AMSR Trust

   

2.006% due 11/17/37 ~

    2,120,000       1,922,424  

2.327% due 10/17/38 ~

    1,342,000       1,162,740  

2.751% due 06/17/38 § ~

    3,650,000       3,052,548  

4.000% due 10/17/39 ~

    3,000,000       2,568,809  

Aqua Finance Trust
3.970% due 07/17/46 ~

    1,225,000       1,048,932  

Business Jet Securities LLC

   

2.918% due 04/15/36 ~

    4,224,570       3,892,779  

2.981% due 11/15/35 ~

    1,063,267       1,008,788  

Cars Net Lease Mortgage Notes
3.100% due 12/15/50 ~

    425,163       378,466  

Carvana Auto Receivables Trust
3.430% due 01/15/26 ~

    2,366,300       2,334,944  

Cascade MH Asset Trust

   

2.708% due 02/25/46 ~

    1,420,000       1,095,788  

4.250% due 08/25/54§ ~

    3,396,565       3,023,371  

CFIN Issuer LLC
3.250% due 02/16/26 ~

    2,000,000       1,894,100  

Consumer Receivables Asset Investment Trust
8.783% (SOFR + 3.750%)
due 12/15/24 § ~

    567,381       570,277  

Continental Finance Credit Card ABS Master Trust

   

2.240% due 12/15/28 ~

    2,170,000       2,070,471  

6.190% due 10/15/30 ~

    2,870,000       2,795,307  

Credit Acceptance Auto Loan Trust

   

1.640% due 06/17/30 ~

    3,815,000       3,520,493  

2.730% due 11/15/29 ~

    2,500,000       2,437,263  
   

Principal
Amount

   

Value

 

Credito Real USA Auto Receivables Trust 1.350% due 02/16/27 ~

    $ 251,048       $ 246,696  

Crossroads Asset Trust
1.120% due 06/20/25 ~

    679,000       670,976  

DataBank Issuer
2.060% due 02/27/51 ~

    1,300,000       1,155,423  

Diversified Abs Phase VI LLC
7.500% due 11/28/39 W ±

    1,910,684       1,862,917  

Drive Auto Receivables Trust
3.180% due 10/15/26

    2,304,836       2,290,012  

DT Auto Owner Trust

   

1.100% due 02/16/27 ~

    1,155,000       1,108,701  

2.960% due 04/15/25 ~

    1,483,996       1,469,901  

Exeter Automobile Receivables Trust
5.980% due 12/15/28

    3,400,000       3,366,641  

FHF Trust
1.270% due 03/15/27 ~

    166,065       159,540  

FirstKey Homes Trust

   

2.389% due 08/17/38 ~

    5,500,000       4,691,610  

5.197% due 05/17/39 ~

    915,000       867,265  

Flagship Credit Auto Trust

   

2.180% due 02/16/27 ~

    1,762,000       1,649,794  

6.000% due 07/17/28 ~

    3,148,000       3,107,830  

FMC GMSR Issuer Trust

   

3.620% due 07/25/26 § ~

    4,600,000       3,956,376  

3.690% due 02/25/24

    3,630,000       3,487,163  

3.850% due 10/25/26 § ~

    2,100,000       1,805,681  

4.450% due 01/25/26 § ~

    2,700,000       2,482,452  

6.190% due 04/25/27 ~

    3,000,000       2,805,839  

7.900% due 07/25/27 ~

    3,000,000       3,001,875  

GLS Auto Receivables Issuer Trust

   

1.140% due 11/17/25 ~

    536,606       529,271  

1.640% due 10/15/26 ~

    425,000       407,062  

5.340% due 06/15/28 ~

    1,889,000       1,865,994  

6.420% due 06/15/28 ~

    2,000,000       2,002,605  

Hilton Grand Vacations Trust
4.300% due 01/25/37 ~

    1,987,767       1,930,082  

Jonah Energy Abs I LLC
7.200% due 12/10/37 ~

    1,488,958       1,473,987  

Jonah Energy LLC
7.800% due 11/10/37

    1,845,380       1,809,210  

LendingPoint Asset Securitization Trust
2.731% due 10/15/28 ~

    475,382       470,486  

LFT CRE Ltd.
6.634% (USD LIBOR + 1.950%)
due 06/15/39 § ~

    2,590,000       2,483,870  

LP LMS Asset Securitization Trust

   

1.750% due 01/15/29 ~

    963,443       940,982  

3.228% due 10/15/28

    317,474       317,244  

Mariner Finance Issuance Trust
2.960% due 07/20/32 ~

    849,730       840,355  

MVW LLC
1.140% due 01/22/41 ~

    738,928       673,422  

New Residential Mortgage Loan Trust
4.000% due 09/04/39 ~

    2,537,000       2,164,701  

NRZ Excess Spread-Collateralized Notes

   

2.981% due 03/25/26 ~

    1,274,253       1,157,456  

3.104% due 07/25/26 ~

    3,071,529       2,767,393  

3.228% due 05/25/26 ~

    1,491,087       1,351,858  

3.844% due 12/25/25 ~

    1,027,327       960,061  

Octane Receivables Trust

   

2.890% due 03/20/26 ~

    2,600,000       2,500,196  

6.290% due 07/20/28 ~

    2,613,000       2,617,356  

OneMain Financial Issuance Trust
3.450% due 09/14/35 ~

    675,000       579,018  

Pagaya AI Debt Selection Trust
1.180% due 11/15/27 ~

    430,993       427,510  

Pagaya AI Technology in Housing Trust
4.250% due 08/25/25 ~

    3,000,000       2,881,424  

PNMAC GMSR Issuer Trust
8.810% (SOFR + 4.250%)
due 05/25/27 § ~

    1,730,000       1,731,895  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

52

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

PRET LLC
2.487% due 10/25/51 § ~

    $ 3,368,955       $ 3,178,307  

Pretium Mortgage Credit Partners I LLC
2.240% due 09/27/60 § ~

    1,834,548       1,749,095  

Progress Residential Trust

   

2.106% due 04/17/38 ~

    3,250,000       2,790,811  

2.409% due 05/17/38 ~

    1,570,000       1,370,673  

2.425% due 07/17/38 ~

    2,530,000       2,178,599  

2.538% due 05/17/26 ~

    1,650,000       1,439,553  

2.547% due 04/19/38 ~

    2,550,000       2,223,293  

2.811% due 11/17/40 ~

    1,000,000       826,654  

5.200% due 04/17/39 ~

    1,685,000       1,550,012  

Regional Management Issuance Trust

   

1.680% due 03/17/31 ~

    1,217,000       1,136,608  

2.420% due 03/17/31 ~

    895,000       798,252  

3.800% due 10/15/30 ~

    2,000,000       1,814,459  

Santander Consumer Auto Receivables Trust
1.570% due 01/15/27 ~

    1,400,000       1,288,130  

Santander Drive Auto Receivables Trust
4.430% due 03/15/27

    1,539,000       1,516,282  

SCF Equipment Leasing LLC
1.540% due 10/21/30 ~

    2,055,000       1,847,346  

Sierra Timeshare Receivables Funding LLC
1.340% due 11/20/37 ~

    563,047       520,912  

Tricolor Auto Securitization Trust
1.920% due 05/15/26 ~

    815,000       796,314  

United Auto Credit Securitization Trust
1.140% due 06/10/26 ~

    850,000       831,872  

Upstart Securitization Trust
5.980% due 08/20/32 ~

    3,133,347       3,076,880  

VCAT LLC
2.289% due 12/26/50 § ~

    1,418,177       1,359,030  

VOLT XCII LLC
1.893% due 02/27/51 § ~

    660,189       606,834  

VOLT XCIII LLC
1.893% due 02/27/51 § ~

    2,311,503       2,135,346  

VOLT XCIV LLC
2.240% due 02/27/51 § ~

    1,617,138       1,520,806  

VOLT XCIX LLC
2.116% due 04/25/51 § ~

    1,102,349       1,009,624  

VOLT XCVI LLC
2.116% due 03/27/51 § ~

    1,288,908       1,216,458  

VOLT XCVII LLC
2.240% due 04/25/51 § ~

    1,316,073       1,215,519  

Westlake Automobile Receivables Trust

   

5.480% due 09/15/27 ~

    3,300,000       3,231,140  

6.680% due 04/17/28 ~

    2,900,000       2,922,726  
   

 

 

 

Total Asset-Backed Securities
(Cost $172,163,470)

      162,470,971  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 26.7%

   

U.S. Treasury Bonds - 11.1%

   

1.125% due 08/15/40

    6,945,000       4,596,451  

1.250% due 05/15/50

    127,000       73,908  

1.375% due 08/15/50

    11,770,000       7,075,333  

1.625% due 11/15/50

    6,885,000       4,419,309  

1.875% due 02/15/41

    3,025,000       2,265,028  

1.875% due 02/15/51

    7,498,800       5,126,133  

1.875% due 11/15/51

    8,070,000       5,498,791  

2.000% due 11/15/41

    5,200,000       3,928,742  

2.000% due 08/15/51

    6,815,000       4,796,722  

2.250% due 05/15/41

    13,162,000       10,464,047  

2.250% due 08/15/46

    950,000       717,695  

2.375% due 02/15/42

    4,790,000       3,854,547  

2.375% due 05/15/51

    260,000       199,758  

2.750% due 08/15/42

    5,700,000       4,854,574  

2.875% due 08/15/45

    4,210,000       3,590,916  

2.875% due 05/15/52

    21,300,000       18,230,221  
   

Principal
Amount

   

Value

 

3.125% due 02/15/43

    $ 368,000       $ 331,193  

3.250% due 05/15/42

    43,715,000       40,357,824  

3.625% due 02/15/53

    11,500,000       11,420,039  

3.875% due 08/15/40

    2,000,000       2,052,813  

4.250% due 05/15/39

    2,000,000       2,159,453  
   

 

 

 
      136,013,497  
   

 

 

 

U.S. Treasury Notes - 15.6%

   

0.250% due 09/30/25

    18,990,000       17,383,268  

0.375% due 01/31/26

    115,000       104,425  

0.875% due 06/30/26

    600,000       547,277  

1.250% due 03/31/28

    5,485,000       4,893,970  

1.500% due 02/15/30

    1,075,000       942,725  

1.625% due 05/15/31

    565,000       491,219  

1.875% due 02/28/27

    20,000,000       18,666,797  

1.875% due 02/28/29

    7,300,000       6,634,018  

1.875% due 02/15/32

    6,000,000       5,267,578  

2.500% due 02/28/26

    270,000       260,197  

2.625% due 07/31/29

    28,130,000       26,612,518  

2.750% due 07/31/27

    71,080,000       68,470,031  

2.875% due 04/30/29

    15,475,000       14,861,743  

2.875% due 05/15/32

    6,175,000       5,877,828  

3.000% due 07/15/25

    9,475,000       9,274,767  

3.125% due 08/31/27

    1,925,000       1,883,342  

3.125% due 08/31/29

    1,900,000       1,849,902  

3.250% due 06/30/29

    7,400,000       7,256,914  
   

 

 

 
      191,278,519  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $364,525,257)

      327,292,016  
   

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 0.4%

 

Chile Government (Chile)
2.550% due 01/27/32

    272,000       232,871  

Mexico Government (Mexico)

   

2.659% due 05/24/31

    596,000       498,882  

3.500% due 02/12/34

    868,000       738,069  

3.750% due 01/11/28

    730,000       701,104  

4.400% due 02/12/52

    475,000       372,328  

4.600% due 01/23/46

    480,000       396,039  

4.875% due 05/19/33

    1,000,000       958,634  

Panama Government (Panama)

   

3.160% due 01/23/30

    480,000       422,494  

4.500% due 04/16/50

    415,000       317,118  

Saudi Government (Saudi Arabia)
2.250% due 02/02/33 ~

    338,000       278,152  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $5,848,840)

      4,915,691  
   

 

 

 

MUNICIPAL BONDS - 0.3%

   

California State Build America Bonds
7.350% due 11/01/39

    1,000,000       1,249,295  

Oklahoma Development Finance Authority
4.714% due 05/01/52

    445,000       431,867  

Texas Natural Gas Securitization Finance Corp.

 

 

5.102% due 04/01/35

    445,000       457,593  

5.169% due 04/01/41

    745,000       789,658  

University of California
3.706% due 05/15/20

    675,000       459,201  
   

 

 

 

Total Municipal Bonds
(Cost $3,888,105)

      3,387,614  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

53

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 0.3%

 

Repurchase Agreement - 0.3%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $4,271,252; collateralized by U.S. Treasury Notes: 2.875% due 06/15/2025 and value $4,355,095)

    $ 4,269,668       $ 4,269,668  
   

 

 

 

Total Short-Term Investment
(Cost $4,269,668)

 

    4,269,668  
   

 

 

 

TOTAL INVESTMENTS - 99.7%
(Cost $1,341,527,765)

      1,222,660,183  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.3%

 

    3,432,700  
   

 

 

 

NET ASSETS - 100.0%

 

    $1,226,092,883  
   

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $5,467,089 or less than 0.1% of the Fund’s net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees.

    

 
(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $317,917,781        $-        $317,917,781        $-  
 

Mortgage-Backed Securities

     402,406,442        -        398,802,270        3,604,172  
 

Asset-Backed Securities

     162,470,971        -        160,608,054        1,862,917  
 

U.S. Treasury Obligations

     327,292,016        -        327,292,016        -  
 

Foreign Government Bonds & Notes

     4,915,691        -        4,915,691        -  
 

Municipal Bonds

     3,387,614        -        3,387,614        -  
 

Short-Term Investment

     4,269,668        -        4,269,668        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,222,660,183        $-        $1,217,193,094        $5,467,089  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

54

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

COMMON STOCKS - 0.0%

   

Financial - 0.0%

   

CBL & Associates Properties, Inc. REIT

    9,021       $231,298  
   

 

 

 

Total Common Stocks
(Cost $125,422)

      231,298  
   

 

 

 
   

Principal
Amount

       

CORPORATE BONDS & NOTES - 34.2%

   

Basic Materials - 0.2%

   

Syngenta Finance NV (Switzerland)
4.441% due 04/24/23 ~

    $4,400,000       4,394,820  
   

 

 

 

Communications - 1.0%

   

AT&T, Inc.
1.700% due 03/25/26

    3,700,000       3,405,743  

Charter Communications Operating LLC/Charter Communications Operating Capital
3.850% due 04/01/61

    7,500,000       4,685,685  

Level 3 Financing, Inc.
3.400% due 03/01/27 ~

    2,000,000       1,583,686  

Lumen Technologies, Inc.
4.000% due 02/15/27 ~

    2,600,000       1,718,379  

SES SA (Luxembourg)
3.600% due 04/04/23 ~

    800,000       800,000  

Sprint LLC
7.875% due 09/15/23

    1,200,000       1,209,953  

T-Mobile USA, Inc.

   

2.550% due 02/15/31

    3,800,000       3,222,465  

3.375% due 04/15/29

    7,200,000       6,570,629  
   

 

 

 
      23,196,540  
   

 

 

 

Consumer, Cyclical - 3.2%

   

Air Canada Pass-Through Trust (Canada)
3.750% due 06/15/29 ~

    1,510,435       1,406,023  

Alaska Airlines Pass-Through Trust
4.800% due 02/15/29 ~

    5,226,191       5,080,988  

American Airlines Pass-Through Trust
2.875% due 01/11/36

    4,627,511       3,821,042  

American Airlines Pass-Through Trust A

   

3.250% due 04/15/30

    2,164,225       1,876,791  

4.000% due 01/15/27

    2,020,557       1,831,492  

American Airlines Pass-Through Trust AA
3.000% due 04/15/30

    3,321,899       2,944,177  

Daimler Truck Finance North America LLC (Germany)
5.569% (SOFR + 0.750%)
due 12/13/24 § ~

    6,650,000       6,562,858  

Ford Motor Credit Co. LLC

   

2.748% due 06/14/24

    GBP 300,000       352,686  

3.021% due 03/06/24

    EUR 1,900,000       2,027,521  

3.375% due 11/13/25

    $2,300,000       2,158,814  

Hyatt Hotels Corp.
1.800% due 10/01/24

    7,200,000       6,820,712  

Hyundai Capital America
1.650% due 09/17/26 ~

    7,200,000       6,377,558  

JetBlue Pass-Through Trust Class A
4.000% due 05/15/34

    7,648,309       7,030,541  

Nissan Motor Acceptance Co. LLC

   

2.750% due 03/09/28 ~

    5,900,000       4,994,135  

3.875% due 09/21/23 ~

    3,400,000       3,362,463  
   

Principal
Amount

   

Value

 

Starbucks Corp.
2.550% due 11/15/30

    $9,700,000       $8,446,871  

Toyota Motor Credit Corp.
5.570% (SOFR + 0.750%)
due 12/11/23 §

    3,300,000       3,300,604  

United Airlines Pass-Through Trust
2.700% due 11/01/33

    4,317,364       3,648,060  

Volkswagen Group of America Finance LLC (Germany)
4.625% due 11/13/25 ~

    1,000,000       992,332  
   

 

 

 
      73,035,668  
   

 

 

 

Consumer, Non-Cyclical - 3.4%

   

Amgen, Inc.
5.250% due 03/02/33

    3,700,000       3,803,400  

Bacardi Ltd. (Bermuda)
4.450% due 05/15/25 ~

    6,700,000       6,601,164  

Bayer US Finance II LLC (Germany)
4.375% due 12/15/28 ~

    7,400,000       7,158,150  

Becton Dickinson & Co.
1.957% due 02/11/31

    7,900,000       6,505,348  

Block Financial LLC
3.875% due 08/15/30

    6,600,000       5,680,491  

CommonSpirit Health
6.073% due 11/01/27

    4,200,000       4,314,834  

Constellation Brands, Inc.
3.700% due 12/06/26

    4,400,000       4,256,971  

CVS Health Corp.
2.125% due 09/15/31

    3,500,000       2,863,353  

CVS Pass-Through Trust
6.943% due 01/10/30

    144,513       149,043  

Duke University
2.682% due 10/01/44

    9,600,000       7,277,733  

Elevance Health, Inc.
2.375% due 01/15/25

    3,400,000       3,256,404  

General Mills, Inc.
5.840% (USD LIBOR + 1.010%)
due 10/17/23 §

    1,000,000       1,003,884  

HCA, Inc.
3.375% due 03/15/29 ~

    7,300,000       6,598,400  

Imperial Brands Finance PLC (United Kingdom)

   

3.125% due 07/26/24 ~

    6,200,000       6,008,619  

3.875% due 07/26/29 ~

    3,300,000       2,971,089  

Kenvue, Inc.
5.050% due 03/22/28 ~

    2,400,000       2,481,675  

Mylan, Inc.
4.200% due 11/29/23

    1,500,000       1,484,167  

Zoetis, Inc.
2.000% due 05/15/30

    7,000,000       5,895,894  
   

 

 

 
      78,310,619  
   

 

 

 

Energy - 1.2%

   

Midwest Connector Capital Co. LLC
3.900% due 04/01/24 ~

    4,100,000       4,029,374  

Odebrecht Drilling Norbe VIII/IX Ltd. (Brazil)
7.350% PIK due 12/01/26 ~

    2,273,594       1,264,118  

Odebrecht Oil & Gas Finance Ltd. (Brazil)
0.000% due 05/01/23 ~

    1,012,000       1,012  

Petroleos Mexicanos (Mexico)
10.000% due 02/07/33 ~

    1,900,000       1,822,659  

Pioneer Natural Resources Co.
5.100% due 03/29/26

    2,300,000       2,310,762  

Rio Oil Finance Trust (Brazil)

   

9.250% due 07/06/24 ~

    561,310       568,256  

9.750% due 01/06/27 ~

    3,082,382       3,194,935  

Sabine Pass Liquefaction LLC
4.500% due 05/15/30

    6,800,000       6,562,566  

Targa Resources Corp.
5.200% due 07/01/27

    6,600,000       6,549,465  
   

 

 

 
      26,303,147  
   

 

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

55

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Financial - 17.4%

   

AIB Group PLC (Ireland)
7.583% due 10/14/26 ~

    $7,500,000       $7,699,762  

American Tower Corp. REIT

   

2.100% due 06/15/30

    8,000,000       6,541,260  

3.000% due 06/15/23

    900,000       895,057  

Aviation Capital Group LLC
4.125% due 08/01/25 ~

    6,620,000       6,306,140  

Banco Bilbao Vizcaya Argentaria SA (Spain)

   

0.875% due 09/18/23

    2,100,000       2,052,712  

1.125% due 09/18/25

    3,400,000       3,065,027  

Banco Espirito Santo SA (Portugal)

   

2.625% * Y ~

    EUR 1,000,000       135,563  

4.750% * Y ~

    5,600,000       759,150  

Bank of America Corp.
5.015% due 07/22/33

    $6,500,000       6,433,485  

Bank of Ireland Group PLC (Ireland)
6.253% due 09/16/26 ~

    6,400,000       6,368,105  

Barclays PLC (United Kingdom)

   

3.375% due 04/02/25 ~

    EUR 900,000       968,012  

7.325% due 11/02/26

    $4,100,000       4,202,651  

7.385% due 11/02/28

    4,000,000       4,243,373  

BNP Paribas SA (France)

   

1.904% due 09/30/28 ~

    3,600,000       3,064,439  

3.132% due 01/20/33 ~

    7,800,000       6,524,829  

Citigroup, Inc.

   

2.572% due 06/03/31

    8,100,000       6,838,763  

3.070% due 02/24/28

    4,200,000       3,908,941  

Commonwealth Bank of Australia (Australia)
2.552% due 03/14/27 ~

    2,900,000       2,690,270  

Cooperatieve Rabobank UA (Netherlands)
4.655% due 08/22/28 ~

    6,700,000       6,516,255  

Credit Suisse AG (Switzerland)

   

6.500% due 08/08/23 ~

    3,200,000       3,076,000  

7.500% due 02/15/28

    2,000,000       2,125,000  

7.950% due 01/09/25

    2,000,000       2,035,520  

Credit Suisse Group AG (Switzerland)

   

3.869% due 01/12/29 ~

    9,100,000       8,124,503  

6.394% (USD LIBOR + 1.240%)
due 06/12/24 § ~

    6,200,000       6,046,389  

6.537% due 08/12/33 ~

    8,500,000       8,755,000  

Crown Castle, Inc. REIT

   

2.250% due 01/15/31

    7,900,000       6,551,421  

3.700% due 06/15/26

    2,277,000       2,196,523  

CTP NV (Netherlands)
0.875% due 01/20/26 ~

    EUR 2,100,000       1,905,513  

CubeSmart LP REIT
2.500% due 02/15/32

    $3,200,000       2,572,096  

Deutsche Bank AG (Germany)
3.961% due 11/26/25

    13,500,000       12,781,489  

Digital Realty Trust LP REIT
3.600% due 07/01/29

    4,500,000       4,046,488  

EPR Properties REIT
4.500% due 04/01/25

    2,200,000       2,125,799  

Essex Portfolio LP REIT
3.375% due 04/15/26

    3,500,000       3,343,783  

Federation des Caisses Desjardins du Quebec (Canada)
4.400% due 08/23/25 ~

    7,000,000       6,832,562  

GA Global Funding Trust
1.250% due 12/08/23 ~

    7,000,000       6,790,029  

GLP Capital LP/GLP Financing II, Inc. REIT
4.000% due 01/15/30

    1,800,000       1,598,364  

Host Hotels & Resorts LP REIT

   

3.875% due 04/01/24

    700,000       683,884  

4.000% due 06/15/25

    1,350,000       1,295,955  

HSBC Holdings PLC (United Kingdom)
7.390% due 11/03/28

    8,500,000       9,054,121  

HSBC USA, Inc.
5.625% due 03/17/25

    4,600,000       4,612,685  
   

Principal
Amount

   

Value

 

Intercontinental Exchange, Inc.
2.100% due 06/15/30

    $4,400,000       $3,708,813  

Intesa Sanpaolo SpA (Italy)
3.250% due 09/23/24 ~

    7,300,000       7,015,949  

JPMorgan Chase & Co.

   

1.578% due 04/22/27

    7,000,000       6,294,604  

4.851% due 07/25/28

    4,800,000       4,795,426  

4.912% due 07/25/33

    6,400,000       6,366,916  

5.546% due 12/15/25

    5,100,000       5,137,689  

KBC Group NV (Belgium)
5.796% due 01/19/29 ~

    2,600,000       2,618,369  

Kilroy Realty LP REIT
4.375% due 10/01/25

    2,600,000       2,358,950  

Life Storage LP REIT

   

2.400% due 10/15/31

    7,000,000       5,650,541  

3.875% due 12/15/27

    2,600,000       2,462,277  

Lloyds Banking Group PLC (United Kingdom)

   

4.450% due 05/08/25

    4,500,000       4,380,407  

4.947% due 06/27/25 ~

    EUR 300,000       294,706  

Logicor Financing SARL (Luxembourg)
1.625% due 01/17/30 ~

    2,300,000       1,747,459  

Manulife Financial Corp. (Canada)
4.150% due 03/04/26

    $500,000       492,545  

MassMutual Global Funding II
5.050% due 12/07/27 ~

    4,000,000       4,052,449  

Mid-America Apartments LP REIT
4.200% due 06/15/28

    3,000,000       2,920,233  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

1.412% due 07/17/25

    6,900,000       6,331,621  

5.133% due 07/20/33

    6,500,000       6,441,300  

5.681% (SOFR + 0.940%)
due 02/20/26 §

    500,000       492,492  

Mizuho Financial Group, Inc. (Japan)

   

2.201% due 07/10/31

    8,700,000       7,046,628  

5.414% due 09/13/28

    3,800,000       3,819,247  

Morgan Stanley

   

4.889% due 07/20/33

    6,500,000       6,392,718  

5.123% due 02/01/29

    2,500,000       2,521,809  

National Retail Properties, Inc. REIT
3.500% due 10/15/27

    5,600,000       5,276,320  

Natwest Group PLC (United Kingdom)
2.000% due 03/04/25 ~

    EUR 4,600,000       4,879,806  

Nomura Holdings, Inc. (Japan)

   

2.172% due 07/14/28

    $500,000       417,706  

2.679% due 07/16/30

    6,700,000       5,421,904  

5.842% due 01/18/28

    1,700,000       1,715,365  

6.181% due 01/18/33

    2,500,000       2,546,921  

Omega Healthcare Investors, Inc. REIT

   

4.375% due 08/01/23

    453,000       450,159  

4.750% due 01/15/28

    590,000       547,384  

Pricoa Global Funding I
4.200% due 08/28/25 ~

    4,500,000       4,419,914  

Public Storage REIT
3.094% due 09/15/27

    1,100,000       1,035,563  

Regency Centers LP REIT
4.125% due 03/15/28

    3,500,000       3,324,034  

Santander Holdings USA, Inc.
2.490% due 01/06/28

    6,500,000       5,627,376  

Scentre Group Trust 1/Scentre Group Trust 2 REIT (Australia)
3.625% due 01/28/26 ~

    7,300,000       6,995,962  

Societe Generale SA (France)

   

3.337% due 01/21/33 ~

    8,000,000       6,443,887  

4.250% due 09/14/23 ~

    7,700,000       7,599,191  

Spirit Realty LP REIT
3.200% due 01/15/27

    8,100,000       7,394,179  

Standard Chartered PLC (United Kingdom)

   

1.456% due 01/14/27 ~

    4,000,000       3,517,380  

5.683% (SOFR + 0.930%)
due 11/23/25 § ~

    5,400,000       5,300,336  

STORE Capital Corp. REIT
4.500% due 03/15/28

    7,600,000       6,814,558  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

56

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Sumitomo Mitsui Financial Group, Inc. (Japan)

   

1.902% due 09/17/28

    $6,000,000       $5,085,993  

5.464% due 01/13/26

    2,900,000       2,929,606  

5.520% due 01/13/28

    3,100,000       3,154,062  

Synchrony Bank
5.625% due 08/23/27

    5,600,000       5,146,761  

Synchrony Financial
5.150% due 03/19/29

    4,700,000       4,137,063  

Tesco Property Finance 4 PLC (United Kingdom)
5.801% due 10/13/40 ~

    GBP 185,911       228,213  

Tesco Property Finance 5 PLC (United Kingdom)
5.661% due 10/13/41 ~

    95,382       115,274  

Truist Financial Corp.
5.900% due 10/28/26

    $6,000,000       5,987,543  

UBS Group AG (Switzerland)
5.711% due 01/12/27 ~

    2,800,000       2,777,254  

UniCredit SpA (Italy)
7.830% due 12/04/23 ~

    8,700,000       8,780,715  

Virgin Money UK PLC (United Kingdom)
4.000% due 09/03/27 ~

    GBP 500,000       566,350  

Wells Fargo & Co.

   

2.393% due 06/02/28

    $2,200,000       1,982,481  

4.540% due 08/15/26

    6,600,000       6,484,462  
   

 

 

 
      396,213,788  
   

 

 

 

Industrial - 2.0%

   

AP Moller - Maersk AS (Denmark)
4.500% due 06/20/29 ~

    8,600,000       8,543,619  

Boeing Co.
1.433% due 02/04/24

    3,500,000       3,382,547  

Flex Ltd.
4.875% due 05/12/30

    7,900,000       7,692,177  

Fortune Brands Innovations, Inc.
3.250% due 09/15/29

    8,200,000       7,306,947  

GATX Corp.
4.000% due 06/30/30

    7,400,000       6,817,504  

Kansas City Southern
3.125% due 06/01/26

    9,800,000       9,357,697  

SMBC Aviation Capital Finance DAC (Ireland)
4.125% due 07/15/23 ~

    1,800,000       1,788,267  
   

 

 

 
      44,888,758  
   

 

 

 

Technology - 2.0%

   

Amdocs Ltd.
2.538% due 06/15/30

    4,700,000       3,965,076  

Broadcom, Inc.

   

2.600% due 02/15/33 ~

    1,800,000       1,412,704  

3.137% due 11/15/35 ~

    7,388,000       5,687,560  

3.187% due 11/15/36 ~

    2,900,000       2,200,129  

3.469% due 04/15/34 ~

    3,639,000       2,991,456  

Dell International LLC/EMC Corp.
5.850% due 07/15/25

    9,200,000       9,355,054  

NXP BV/NXP Funding LLC/NXP USA, Inc. (China)

   

3.875% due 06/18/26

    4,000,000       3,865,186  

4.875% due 03/01/24

    5,900,000       5,857,673  

Open Text Corp. (Canada)
6.900% due 12/01/27 ~

    8,100,000       8,363,250  

Oracle Corp.
6.150% due 11/09/29

    2,700,000       2,877,122  
   

 

 

 
      46,575,210  
   

 

 

 

Utilities - 3.8%

   

DTE Electric Co.
4.050% due 05/15/48

    100,000       85,698  

Enel Finance America LLC (Italy)
7.100% due 10/14/27 ~

    2,900,000       3,119,142  
   

Principal
Amount

   

Value

 

Enel Finance International NV (Italy)
2.250% due 07/12/31 ~

  $ 7,500,000       $5,878,208  

Entergy Louisiana LLC
2.350% due 06/15/32

    7,700,000       6,330,757  

Evergy, Inc.
2.450% due 09/15/24

    8,800,000       8,434,888  

National Rural Utilities Cooperative Finance Corp.
4.800% due 03/15/28

    2,600,000       2,627,165  

New York State Electric & Gas Corp.
2.150% due 10/01/31 ~

    7,200,000       5,781,736  

NextEra Energy Capital Holdings, Inc.
2.250% due 06/01/30

    9,600,000       8,121,357  

Pacific Gas & Electric Co.

   

1.700% due 11/15/23

    3,300,000       3,220,100  

3.500% due 06/15/25

    2,400,000       2,290,037  

5.450% due 06/15/27

    6,800,000       6,738,894  

Pennsylvania Electric Co.
3.600% due 06/01/29 ~

    4,300,000       4,018,162  

Public Service Co. of Colorado
1.900% due 01/15/31

    6,300,000       5,212,053  

ReNew Wind Energy AP2/ReNew Power Pvt Ltd. other 9 Subsidiaries (India)
4.500% due 07/14/28 ~

    5,900,000       4,960,588  

SGSP Australia Assets Pty Ltd. (Australia)
3.300% due 04/09/23 ~

    1,200,000       1,199,685  

Southern California Edison Co.
2.500% due 06/01/31

    7,000,000       5,944,042  

Southern Co.
3.250% due 07/01/26

    5,700,000       5,439,538  

WEC Energy Group, Inc.
1.800% due 10/15/30

    8,400,000       6,808,454  
   

 

 

 
      86,210,504  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $844,452,915)

      779,129,054  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 55.8%

 

Collateralized Mortgage Obligations - Commercial - 8.3%

 

1211 Avenue of the Americas Trust
3.901% due 08/10/35 ~

    9,600,000       8,987,962  

Arbor Multifamily Mortgage Securities Trust
2.756% due 05/15/53 ~

    4,900,000       4,200,156  

AREIT LLC
6.985% (SOFR + 2.242%)

due 06/17/39 § ~

    5,600,000       5,559,977  

Ashford Hospitality Trust
5.685% (USD LIBOR + 1.000%)

due 06/15/35 § ~

    7,400,000       7,168,677  

Atrium Hotel Portfolio Trust
5.634% (USD LIBOR + 0.950%)

due 06/15/35 § ~

    6,500,000       6,264,104  

Austin Fairmont Hotel Trust
5.734% (USD LIBOR + 1.050%)

due 09/15/32 § ~

    4,500,000       4,407,387  

BAMLL Commercial Mortgage Securities Trust
5.734% (USD LIBOR + 1.050%)

due 09/15/38 § ~

    7,000,000       6,541,544  

BDS LLC
6.828% (SOFR + 2.137%)

due 08/19/38 § ~

    6,500,000       6,506,975  

Benchmark Mortgage Trust
3.458% due 03/15/55

    6,500,000       5,735,931  

BX Commercial Mortgage Trust
5.373% (USD LIBOR + 0.689%)

due 10/15/38 § ~

    5,430,550       5,210,778  

Cantor Commercial Real Estate Lending
2.874% due 11/15/52

    6,200,000       5,276,727  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

57

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CFCRE Commercial Mortgage Trust
3.060% due 11/10/49

    $3,928,272       $3,773,152  

Citigroup Commercial Mortgage Trust

   

2.984% due 11/15/49

    5,376,416       5,165,975  

3.778% due 09/10/58

    5,900,000       5,662,084  

CLNC Ltd. (Cayman)
6.056% (SOFR + 1.364%)
due 08/20/35 § ~

    2,485,800       2,457,081  

DBGS Mortgage Trust
3.843% due 04/10/37 ~

    8,700,000       7,407,241  

DBWF Mortgage Trust
5.891% (USD LIBOR + 1.130%)
due 12/19/30 § ~

    6,600,000       6,483,012  

DOLP Trust
2.956% due 05/10/41 ~

    7,000,000       5,596,970  

Extended Stay America Trust
5.765% (USD LIBOR + 1.080%)
due 07/15/38 § ~

    6,833,346       6,633,715  

GS Mortgage Securities Corp. II
8.228% (SOFR + 3.400%)
due 08/15/39 § ~

    6,700,000       6,671,320  

GS Mortgage Securities Trust
3.602% due 10/10/49 § ~

    7,000,000       5,659,419  

JP Morgan Chase Commercial Mortgage Securities Trust

   

5.934% (USD LIBOR + 1.250%)

due 09/15/29 § ~

    2,409,756       2,232,396  

6.134% (USD LIBOR + 1.450%)

due 12/15/31 § ~

    5,461,346       5,212,298  

Manhattan West 2020-1MW Mortgage Trust
2.130% due 09/10/39 ~

    8,600,000       7,414,310  

MF1 Multifamily Housing Mortgage Loan Trust
5.624% (SOFR + 0.964%)
due 07/15/36 § ~

    3,435,709       3,375,470  

Morgan Stanley Bank of America Merrill Lynch Trust
3.150% due 03/15/48

    2,284,358       2,221,170  

Morgan Stanley Capital I Trust
2.428% due 04/05/42 § ~

    4,900,000       3,843,105  

NYO Commercial Mortgage Trust
5.780% (USD LIBOR + 1.095%)
due 11/15/38 § ~

    11,200,000       10,293,182  

One New York Plaza Trust
5.634% (USD LIBOR + 0.950%)
due 01/15/36 § ~

    3,780,000       3,627,664  

PFP Ltd. (Bermuda)
6.934% (SOFR + 2.274%)
due 08/19/35 § ~

    6,400,000       6,362,688  

Ready Capital Mortgage Financing LLC 7.358% (SOFR + 2.552%)
due 10/25/39 § ~

    6,091,339       6,058,160  

STWD Ltd. (Cayman)
5.854% (SOFR + 1.194%)
due 07/15/38 § ~

    5,654,182       5,630,130  

STWD Mortgage Trust (Cayman)
5.542% (USD LIBOR + 0.858%)
due 11/15/36 § ~

    7,100,000       6,831,822  

Wells Fargo Commercial Mortgage Trust
3.809% due 12/15/48

    4,837,000       4,635,602  
   

 

 

 
      189,108,184  
   

 

 

 

Collateralized Mortgage Obligations - Residential - 8.5%

 

Alternative Loan Trust (IO)

   

0.155% (5.000% - USD LIBOR)

due 05/25/35 §

    645,534       31,909  

Alternative Loan Trust

   

5.465% (USD LIBOR + 0.620%)

due 10/25/35 §

    5,456       5,343  

Banc of America Funding Trust

   

3.011% due 08/25/47 § ~

    3,395,971       2,362,921  

4.160% due 02/20/36 §

    237,362       216,393  
   

Principal
Amount

   

Value

 

Banc of America Mortgage Trust
6.000% due 05/25/37

    $1,833,628       $1,439,710  

BCAP LLC Trust

   

4.604% due 03/26/37 § ~

    136,723       133,229  

5.250% due 02/26/36 § ~

    959,489       433,969  

Bear Stearns Adjustable Rate Mortgage Trust
3.539% due 08/25/33 §

    456,972       416,963  

Bear Stearns ALT-A Trust
4.601% due 01/25/36 §

    1,033,032       957,288  

Bear Stearns Structured Products, Inc. Trust

   

3.649% due 12/26/46 §

    401,151       270,694  

3.947% due 01/26/36 §

    460,720       338,096  

CHL Mortgage Pass-Through Trust

   

4.221% due 05/20/34 §

    336,589       302,120  

5.485% (USD LIBOR + 0.640%)

due 03/25/35 §

    386,361       340,797  

6.500% due 10/25/37

    744,447       364,923  

Citigroup Mortgage Loan Trust
3.799% due 08/25/36 §

    398,353       343,988  

Citigroup Mortgage Loan Trust, Inc.
3.906% due 08/25/35 §

    68,214       55,262  

Credit Suisse First Boston Mortgage Securities Corp. (Switzerland)
5.044% due 03/25/32 § ~

    79,915       72,475  

DSLA Mortgage Loan Trust
4.540% due 07/19/44 §

    277,445       245,805  

Fannie Mae REMICS

   

4.677% (USD LIBOR + 0.060%)

due 07/25/37 §

    50,512       49,501  

5.159% due 10/25/42 §

    333,017       338,264  

5.161% (USD LIBOR + 0.400%)

due 04/18/28 §

    11,804       11,786  

5.211% (USD LIBOR + 0.450%)

due 10/18/30 §

    163       163  

5.225% (USD LIBOR + 0.380%)

due 11/25/42 §

    1,168,689       1,150,888  

Fannie Mae REMICS (IO)
1.855% (6.700% - USD LIBOR)
due 10/25/35 §

    1,497       150  

Finsbury Square PLC (United Kingdom)
5.460% (SONIA + 1.300%)
due 06/16/70 § ~

    GBP 2,120,485       2,619,731  

First Horizon Alternative Mortgage Securities Trust

   

4.432% due 03/25/35 §

    $369,981       226,159  

4.863% due 06/25/34 §

    1,240,017       1,138,550  

Freddie Mac 7.500% due 09/20/26

    20,526       20,939  

Freddie Mac REMICS

   

3.655% (USD LIBOR + 0.350%)

due 08/15/40 §

    2,379,354       2,323,754  

3.666% (USD LIBOR + 0.350%)

due 10/15/40 §

    2,334,825       2,283,131  

4.874% (USD LIBOR + 0.190%)

due 10/15/43 §

    2,643,642       2,571,764  

5.034% (USD LIBOR + 0.350%)

due 12/15/29 §

    4,131       4,107  

Freddie Mac Structured Pass-Through Certificates

   

4.338% (US FED + 1.200%)

due 10/25/44 §

    501,792       468,875  

4.538% (US FED + 1.400%)

due 07/25/44 §

    2,395,790       2,264,762  

Government National Mortgage Association

   

5.059% (SOFR + 0.500%)

due 01/20/72 §

    2,577,069       2,520,027  

5.359% (SOFR + 0.800%)

due 01/20/73 §

    4,527,542       4,506,403  

5.439% (SOFR + 0.880%)

due 02/20/73 §

    5,110,443       5,111,011  

5.459% (SOFR + 0.900%)

due 01/20/73 §

    7,532,708       7,541,486  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

58

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Government National Mortgage Association REMICS

   

1.968% (USD LIBOR + 0.750%)

due 04/20/67 §

    $4,591,986       $4,589,376  

5.066% (USD LIBOR + 0.500%)

due 04/20/64 §

    1,486,007       1,480,877  

5.116% (USD LIBOR + 0.550%)

due 05/20/65 §

    895,104       886,157  

5.166% (USD LIBOR + 0.600%)

due 07/20/65 - 08/20/65 §

    5,689,813       5,629,901  

5.280% (SOFR + 0.880%)

due 03/20/73 §

    5,000,000       4,999,469  

5.309% (SOFR + 0.750%)

due 10/20/72 §

    5,215,617       5,193,931  

5.316% (USD LIBOR + 0.750%)

due 01/20/66 §

    3,898,655       3,852,966  

5.579% (SOFR + 1.020%)

due 12/20/72 §

    3,122,925       3,150,481  

Great Hall Mortgages No 1 PLC (United Kingdom)
5.093% (USD LIBOR + 0.130%)
due 06/18/39 § ~

    1,407,635       1,389,975  

GreenPoint Mortgage Funding Trust
5.385% (USD LIBOR + 0.540%)
due 11/25/45 §

    29,169       26,141  

GS Mortgage-Backed Securities Corp. Trust
2.500% due 06/25/52 § ~

    6,412,604       5,220,215  

HarborView Mortgage Loan Trust
5.005% (USD LIBOR + 0.320%)
due 05/25/38 §

    657,246       508,565  

Impac CMB Trust
5.385% (USD LIBOR + 0.270%)
due 05/25/35 §

    24,700       22,307  

IndyMac ARM Trust
3.544% due 01/25/32 §

    6,563       5,982  

JP Morgan Alternative Loan Trust

   

5.205% (USD LIBOR + 0.360%)

due 05/25/36 §

    1,910,166       1,542,943  

6.000% due 12/27/36 ~

    896,486       501,715  

JP Morgan Mortgage Trust

   

3.759% due 12/26/37 § ~

    3,177,791       2,667,325  

5.145% (USD LIBOR + 0.300%)

due 10/25/35 §

    1,086,701       774,022  

Legacy Mortgage Asset Trust
5.882% due 10/25/59 § ~

    5,439,460       5,438,523  

Lehman Mortgage Trust
5.750% due 02/25/37

    4,972,134       3,507,759  

MASTR Adjustable Rate Mortgages Trust
4.102% due 04/21/34 §

    7,464       7,058  

MASTR Alternative Loan Trust
5.245% (USD LIBOR + 0.400%)
due 03/25/36 §

    690,416       72,276  

Merrill Lynch Mortgage Investors Trust
3.471% due 06/25/35 §

    14,796       13,573  

Metlife Securitization Trust
3.750% due 03/25/57 § ~

    4,558,693       4,314,718  

New Residential Mortgage Loan Trust

   

3.000% due 03/25/52 § ~

    6,486,555       5,508,073  

3.500% due 12/25/57 § ~

    3,859,451       3,652,693  

OBX Trust

   

5.495% (USD LIBOR + 0.650%)

due 06/25/57 § ~

    3,971,944       3,718,481  

6.120% due 11/25/62 § ~

    4,892,628       4,901,168  

PHH Alternative Mortgage Trust
5.165% (USD LIBOR + 0.320%)
due 02/25/37 §

    6,837,255       4,700,403  

RBSSP Resecuritization Trust
6.250% due 12/26/36 § ~

    632,041       239,256  

Reperforming Loan REMIC Trust
5.185% (USD LIBOR + 0.340%)
due 06/25/35 § ~

    903,537       823,474  

Residential Asset Securitization Trust (IO)
0.105% (4.950% - USD LIBOR)
due 11/25/35 §

    1,788,545       134,012  
   

Principal
Amount

   

Value

 

Resloc UK PLC (United Kingdom)
3.117% (EUR LIBOR + 0.160%)
due 12/15/43 § ~

    EUR 1,733,998       $1,782,177  

RFMSI Trust
4.148% due 09/25/35 §

    $366,227       225,993  

Ripon Mortgages PLC (United Kingdom)
4.815% (SONIA + 0.700%)
due 08/28/56 § ~

    GBP 8,128,564       9,962,955  

RMAC Securities No. 1 PLC (United Kingdom)
4.740% (SONIA + 0.589%)
due 06/12/44 § ~

    3,630,850       4,169,115  

Seasoned Credit Risk Transfer Trust
14.119% due 09/25/60 § ~

    $2,988,505       2,115,272  

Sequoia Mortgage Trust
5.461% (USD LIBOR + 0.700%)
due 07/20/33 §

    222,673       199,023  

Structured Adjustable Rate Mortgage Loan Trust
3.845% due 01/25/35 §

    50,058       49,242  

Structured Asset Mortgage Investments II Trust

   

5.261% (USD LIBOR + 0.500%)

due 07/19/35 §

    66,637       60,765  

5.265% (USD LIBOR + 0.420%)

due 05/25/36 §

    385,645       251,681  

5.305% (USD LIBOR + 0.460%)

due 02/25/36 §

    589,049       479,588  

5.405% (USD LIBOR + 0.560%)

due 02/25/36 §

    361,357       295,046  

Structured Asset Mortgage Investments Trust
5.421% (USD LIBOR + 0.660%)
due 09/19/32 §

    14,856       14,011  

Structured Asset Securities Corp. Trust
5.750% due 04/25/35

    2,355,662       1,417,563  

Suntrust Alternative Loan Trust (IO)
0.255% (5.100% - USD LIBOR)
due 12/25/35 §

    2,056,308       80,202  

Towd Point Mortgage Funding (United Kingdom)
5.243% (SONIA + 1.350%)
due 07/20/45 § ~

    GBP 18,250,638       22,424,189  

Towd Point Mortgage Funding PLC (United Kingdom)
5.037% (SONIA + 1.144%)
due 10/20/51

    7,950,963       9,820,033  

UWM Mortgage Trust

   

2.500% due 11/25/51 § ~

    $6,322,010       5,146,466  

2.500% due 12/25/51 § ~

    6,385,444       5,198,105  

Verus Securitization Trust
5.850% due 12/25/67 § ~

    4,947,657       4,911,643  

Wachovia Mortgage Loan Trust LLC Trust
4.238% due 05/20/36 §

    60,512       57,964  

WaMu Mortgage Pass-Through Certificates Trust

   

3.979% due 01/25/36 §

    336,739       298,113  

5.385% (USD LIBOR + 0.540%)

due 12/25/45 §

    18,572       17,054  

5.425% (USD LIBOR + 0.580%)

due 10/25/45 §

    17,883       16,411  

Washington Mutual Mortgage Pass-Through Certificates Trust

   

3.968% (US FED + 0.830%)

due 11/25/46 §

    892,433       728,888  

6.000% due 07/25/36

    1,195,354       892,375  

Washington Mutual Mortgage Pass-Through Certificates Trust (IO)

   

0.005% (4.850% - USD LIBOR)

due 11/25/35 §

    6,726,356       327,510  

0.105% (4.950% - USD LIBOR)

due 11/25/35 §

    1,997,139       134,512  

Washington Mutual MSC Mortgage Pass-Through Certificates Trust
3.975% due 02/25/33 §

    1,760       1,638  
   

 

 

 
      194,034,685  
   

 

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

59

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Fannie Mae - 37.3%

 

due 02/25/52 #

    $230,600,000       $207,142,261  

due 05/12/52 #

    78,000,000       76,448,449  

due 04/13/53 #

    300,000       269,201  

due 04/13/53 #

    23,200,000       23,681,219  

due 04/13/53 #

    88,400,000       82,146,390  

due 04/13/53 #

    92,000,000       87,996,913  

due 04/13/53 #

    61,100,000       60,942,477  

due 05/11/53 #

    900,000       918,105  

due 05/11/53 #

    14,000,000       14,423,281  

due 05/11/53 #

    66,700,000       67,357,880  

due 05/11/53 #

    99,300,000       99,032,355  

2.830% (USD LIBOR + 1.455%)

due 04/01/35 §

    64,054       62,507  

2.855% (US FED + 1.270%)

due 03/01/33 §

    79,504       76,690  

3.000% due 04/01/27 - 08/01/52

    43,101,201       38,789,676  

3.000% due 08/01/52

    28,317,821       25,452,593  

3.000% due 09/01/52

    53,457,228       48,041,917  

3.055% (UST + 2.055%)

due 04/01/34 §

    41,688       41,237  

3.095% (UST + 2.095%)

due 04/01/27 §

    486       479  

3.416% (UST + 2.068%)

due 03/01/34 §

    2,015       1,961  

3.500% due 05/01/33 - 05/01/35

    6,997,568       6,807,864  

3.505% (USD LIBOR + 1.255%)

due 07/01/35 §

    126,084       125,243  

3.560% (USD LIBOR + 1.318%)

due 08/01/35 §

    98,831       96,878  

3.585% (USD LIBOR + 1.335%)

due 12/01/34 §

    237,329       233,368  

3.663% (USD LIBOR + 1.413%)

due 07/01/33 §

    7,270       7,081  

3.663% (USD LIBOR + 1.538%)

due 01/01/36 §

    5,310       5,188  

3.668% (USD LIBOR + 1.418%)

due 12/01/34 §

    2,290       2,239  

3.691% (USD LIBOR + 1.373%)

due 09/01/35 §

    33,109       32,304  

3.738% (US FED + 1.255%)

due 05/01/36 §

    8,764       8,486  

3.820% (UST + 1.695%)

due 02/01/33 §

    135,852       133,991  

3.993% (US FED + 1.200%)

due 08/01/42 - 10/01/44 §

    397,508       378,867  

4.000% due 04/01/24 - 02/01/48

    2,597,224       2,537,583  

4.000% (USD LIBOR + 2.250%)

due 06/01/34 §

    1,705       1,666  

4.050% (UST + 1.925%)

due 02/01/33 §

    1,888       1,842  

4.090% (USD LIBOR + 1.840%)

due 09/01/35 §

    14,732       14,549  

4.110% (US FED + 1.255%)

due 05/01/36 §

    272,119       265,887  

4.150% (UST + 2.025%)

due 01/01/34 §

    3,770       3,826  

4.171% (US FED + 1.259%)

due 05/01/36 §

    6,336       6,251  

4.320% (USD LIBOR + 1.694%)

due 03/01/33 §

    2,070       2,032  

4.395% (UST + 2.360%)

due 11/01/34 §

    739,638       759,807  

4.500% due 06/01/23 - 10/01/42

    301,035       302,146  

5.000% due 05/01/25 - 02/01/44

    1,255,989       1,273,180  

5.136% (US FED + 1.731%)

due 09/01/34 §

    22,788       23,137  
   

Principal
Amount

   

Value

 

5.213% (USD LIBOR + 1.550%)

due 09/01/33 §

    $9,836       $9,880  

5.500% due 05/01/23 - 09/01/41

    2,450,738       2,528,482  

5.730% (USD LIBOR + 1.605%)

due 08/01/36 §

    17,059       17,035  

6.000% due 02/01/24 - 09/01/39

    1,348,587       1,394,633  

6.500% due 09/01/28 - 05/11/53

    235,087       243,888  

7.500% due 01/01/33

    7,437       7,757  

8.000% due 05/01/30

    1,378       1,385  
   

 

 

 
    850,052,066  
   

 

 

 

Freddie Mac - 1.4%

 

3.000% due 04/01/27 - 08/01/52

    395,406       355,272  

3.000% due 04/01/52 - 08/01/52

    24,856,432       22,342,893  

3.235% (UST + 2.249%)

due 03/01/32 §

    10,418       10,172  

3.500% due 08/01/27 - 06/01/48

    6,318,594       5,965,582  

3.586% (USD LIBOR + 1.345%)

due 09/01/35 §

    68,651       68,621  

4.000% (UST + 2.250%)

due 07/01/32 §

    6,064       5,963  

4.000% due 11/01/33 - 04/01/48

    1,569,978       1,541,276  

4.262% (UST + 2.137%)

due 01/01/28 §

    2,136       2,083  

2.624% (UST + 2.249%)

due 03/01/32 §

    14,084       13,805  

5.500% due 06/01/23 - 05/01/40

    2,144,830       2,226,033  

6.000% due 05/01/29

    4,638       4,739  

7.000% due 10/01/37

    10,549       11,129  
   

 

 

 
    32,547,568  
   

 

 

 

Government National Mortgage Association - 0.3%

 

2.625% (UST + 1.500%)

due 07/20/23 - 03/20/33 §

    187,479       184,255  

2.750% (UST + 1.500%)

due 10/20/23 - 12/20/32 §

    85,191       83,050  

2.875% (UST + 1.500%)

due 04/20/24 - 06/20/32 §

    123,656       122,226  

3.000% (UST + 1.500%)

due 10/20/24 - 09/20/30 §

    14,495       14,143  

3.125% (UST + 2.000%)

due 03/20/29 §

    18,212       18,010  

3.500% (UST + 1.500%)

due 11/20/24 §

    2,102       2,070  

3.500% (UST + 2.000%)

due 11/20/24 §

    5,796       5,695  

4.000% due 03/15/44 - 09/15/49

    932,038       889,231  

5.000% due 05/15/33 - 07/20/49

    4,647,017       4,772,654  

6.000% due 06/15/38 - 09/15/38

    4,544       4,657  

7.500% due 07/15/31 - 12/15/31

    12,577       13,402  

8.000% due 12/15/29 - 08/15/32

    118,608       121,219  

8.500% due 09/15/29 - 12/15/30

    111,708       111,951  
   

 

 

 
    6,342,563  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $1,305,110,495)

 

    1,272,085,066  
   

 

 

 

ASSET-BACKED SECURITIES - 14.8%

 

ABFC Trust
5.670% (USD LIBOR + 0.825%)
due 07/25/35 §

    4,626,799       4,191,333  

ACAS CLO Ltd. (Cayman)
5.685% (USD LIBOR + 0.890%)
due 10/18/28 § ~

    6,039,054       5,970,386  

Apres Static CLO Ltd. (Cayman)
5.862% (USD LIBOR + 1.070%)
due 10/15/28 § ~

    2,301,169       2,290,231  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

60

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Ares XL CLO Ltd. (Cayman)
5.662% (USD LIBOR + 0.870%)
due 01/15/29 § ~

    $5,349,782       $5,306,211  

Argent Securities, Inc. Asset-Backed Pass-Through Certificates
5.605% (USD LIBOR + 0.760%)
due 02/25/36 §

    1,564,780       1,180,312  

Asset-Backed Securities Corp. Home Equity Loan Trust
5.865% (USD LIBOR + 1.020%)
due 07/25/35 §

    2,000,000       1,892,146  

Avoca CLO XVII DAC (Netherlands)
3.108% (EUR LIBOR + 0.820%)
due 10/15/32 § ~

    EUR 6,000,000       6,345,951  

Benefit Street Partners CLO XVI Ltd. (Cayman)
5.822% (USD LIBOR + 1.030%)
due 01/17/32 § ~

    $7,000,000       6,895,000  

Benefit Street Partners CLO XVII Ltd. (Cayman)
5.872% (USD LIBOR + 1.080%)
due 07/15/32 § ~

    7,000,000       6,889,420  

BSPDF Issuer Ltd. (Cayman)
5.884% (USD LIBOR + 1.200%)
due 10/15/36 § ~

    7,000,000       6,895,154  

Catamaran CLO Ltd. (Cayman)
5.915% (USD LIBOR + 1.100%)
due 04/22/30 § ~

    8,541,718       8,448,751  

CIT Mortgage Loan Trust
6.195% (USD LIBOR + 1.350%)
due 10/25/37 § ~

    407,128       405,637  

Citigroup Mortgage Loan Trust

   

4.995% (USD LIBOR + 0.150%)

due 12/25/36 §

    8,894,782       3,730,335  

5.005% (USD LIBOR + 0.160%)

due 12/25/36 § ~

    1,847,460       1,033,439  

Countrywide Asset-Backed Certificates
5.745% (USD LIBOR + 0.900%)
due 03/25/47 § ~

    1,308,071       1,076,259  

CVC Cordatus Loan Fund XI DAC (Ireland) 2.938% (EUR LIBOR + 0.650%)
due 10/15/31 § ~

    EUR 6,100,000       6,452,424  

CWABS Asset-Backed Certificates Trust

   

4.985% (USD LIBOR + 0.140%)

due 06/25/47 §

    $4,609,583       4,078,747  

5.075% (USD LIBOR + 0.230%)

due 10/25/47 §

    285,376       279,870  

5.125% (USD LIBOR + 0.280%)

due 03/25/37 §

    2,156,305       2,065,384  

Delta Funding Home Equity Loan Trust
7.030% due 08/15/30

    1       1  

Discover Card Execution Note Trust
5.284% (USD LIBOR + 0.600%)
due 12/15/26 §

    6,600,000       6,599,395  

DLLAD LLC
5.190% due 04/20/26 ~

    4,100,000       4,086,352  

Dryden 52 Euro CLO DAC (Ireland)
3.514% (EUR LIBOR + 0.860%)
due 05/15/34 § ~

    EUR 5,600,000       5,936,552  

FBR Securitization Trust
5.610% (USD LIBOR + 0.765%)
due 09/25/35 §

    $28,530,000       27,537,273  

First Franklin Mortgage Loan Trust
5.155% (USD LIBOR + 0.310%)
due 10/25/36 §

    13,900,000       10,974,311  

GLS Auto Receivables Issuer Trust
3.550% due 01/15/26 ~

    4,208,650       4,164,646  

GSAA Home Equity Trust
5.185% (USD LIBOR + 0.340%)
due 09/25/36 §

    8,579,210       2,055,381  
   

Principal
Amount

   

Value

 

Halseypoint CLO II Ltd. (Cayman)
5.908% (USD LIBOR + 1.100%)
due 07/20/31 § ~

    $6,742,868       $6,665,325  

Harvest CLO XI DAC (Ireland)
3.640% (EUR LIBOR + 0.650%)
due 06/26/30 § ~

    EUR 5,513,967       5,844,631  

Home Equity Asset Trust
5.625% (USD LIBOR + 0.780%)
due 10/25/34 §

    $1,351,582       1,336,317  

Home Equity Mortgage Loan Asset-Backed Trust
5.165% (USD LIBOR + 0.320%)
due 04/25/37 §

    3,582,166       3,032,289  

HSI Asset Securitization Corp. Trust
5.340% (USD LIBOR + 0.495%)
due 02/25/36 §

    451,879       422,075  

Imc Home Equity Loan Trust
5.432% due 08/20/29 §

    432       412  

IXIS Real Estate Capital Trust
5.045% (USD LIBOR + 0.200%)
due 01/25/37 §

    10,245,556       3,961,946  

JP Morgan Mortgage Acquisition Trust
5.280% (USD LIBOR + 0.435%)
due 05/25/36 §

    9,911,186       9,478,257  

LCCM CLO Trust
5.884% (USD LIBOR + 1.200%)
due 12/13/38 § ~

    8,000,000       7,770,656  

LCM CLO XIII LP (Cayman)
5.668% (USD LIBOR + 0.870%)
due 07/19/27 § ~

    4,432,821       4,404,083  

LCM CLO XXIV Ltd. (Cayman)
5.788% (USD LIBOR + 0.980%)
due 03/20/30 § ~

    712,059       702,817  

LCM CLO XXV Ltd. (Cayman)
5.739% (SOFR + 1.100%)
due 07/20/30 § ~

    6,685,859       6,607,300  

Lehman ABS Mortgage Loan CLO Trust
4.935% (USD LIBOR + 0.090%)
due 06/25/37 § ~

    792,199       555,313  

LFT CRE CLO Ltd.
5.854% (USD LIBOR + 1.170%)
due 06/15/39 § ~

    7,000,000       6,900,061  

Magnetite CLO XVIII Ltd. (Cayman)
5.744% (USD LIBOR + 0.880%)
due 11/15/28 § ~

    6,387,354       6,326,675  

Marble Point CLO X Ltd. (Cayman)
5.832% (USD LIBOR + 1.040%)
due 10/15/30 § ~

    7,019,437       6,935,091  

Mastr Asset-Backed Securities Trust
5.345% (USD LIBOR + 0.500%)
due 04/25/36 §

    7,346,293       1,930,635  

Merrill Lynch Mortgage Investors Trust
5.595% (USD LIBOR + 0.750%)
due 09/25/35 §

    906,803       845,085  

MKS CLO Ltd. (Cayman)
5.808% (USD LIBOR + 1.000%)
due 07/20/30 § ~

    4,817,021       4,752,503  

Morgan Stanley ABS Capital I, Inc. Trust

   

4.905% (USD LIBOR + 0.060%)

due 05/25/37 §

    144,313       126,292  

5.025% (USD LIBOR + 0.180%)

due 03/25/37 §

    2,335,223       1,044,477  

5.025% (USD LIBOR + 0.180%)

due 05/25/37 §

    6,311,214       5,544,200  

5.065% (USD LIBOR + 0.220%)

due 11/25/36 §

    5,517,262       2,720,158  

5.095% (USD LIBOR + 0.250%)

due 03/25/37 §

    3,910,140       1,751,475  

Morgan Stanley Capital I, Inc. Trust
5.205% (USD LIBOR + 0.360%)
due 03/25/36 §

    1,514,131       1,224,564  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

61

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Option One Mortgage Loan Trust

   

4.985% (USD LIBOR + 0.140%)

due 02/25/37 §

    $4,236,155       $2,839,168  

5.065% (USD LIBOR + 0.220%)

due 02/25/37 §

    11,730,203       5,971,910  

OZLM VI Ltd. (Cayman)
5.872% (USD LIBOR + 1.080%)
due 04/17/31 § ~

    6,108,258       6,016,786  

OZLM VIII Ltd. (Cayman)
5.772% (USD LIBOR + 0.980%)
due 10/17/29 § ~

    6,489,619       6,424,723  

Park Place Securities, Inc. Asset-Backed Pass-Through Certificates
5.670% (USD LIBOR + 0.825%)
due 07/25/35 §

    6,700,000       6,186,832  

RAAC Trust
5.495% (USD LIBOR + 0.650%)
due 06/25/47 §

    1,553,694       1,503,095  

Renaissance Home Equity Loan Trust
4.446% (USD LIBOR + 0.880%)
due 08/25/33 §

    137,201       124,118  

Santander Drive Auto Receivables Trust

   

3.980% due 01/15/25

    4,231,415       4,220,306  

4.370% due 05/15/25

    5,804,871       5,789,773  

Saranac CLO VI Ltd. (Jersey)
6.294% (USD LIBOR + 1.140%)
due 08/13/31 § ~

    6,800,000       6,729,671  

Saxon Asset Securities Trust
5.505% (USD LIBOR + 0.660%)
due 10/25/35 §

    2,364,242       2,226,226  

Securitized Asset-Backed Receivables LLC Trust
5.505% (USD LIBOR + 0.660%)
due 08/25/35 §

    3,570,631       2,727,841  

Sound Point CLO XVI Ltd. (Cayman)
5.798% (USD LIBOR + 0.980%)
due 07/25/30 § ~

    6,952,056       6,859,190  

Sound Point CLO XVII Ltd. (Cayman)
5.788% (USD LIBOR + 0.980%)
due 10/20/30 § ~

    5,060,000       4,983,015  

Soundview Home Loan Trust
4.955% (USD LIBOR + 0.110%)
due 02/25/37 §

    1,404,267       399,997  

Stratus CLO Ltd. (Cayman)
5.708% (USD LIBOR + 0.900%)
due 12/28/29 § ~

    5,975,347       5,924,873  

Structured Asset Investment Loan Trust
5.465% (USD LIBOR + 0.620%)
due 01/25/36 §

    4,568,639       4,091,924  

Structured Asset Securities Corp. Mortgage Loan Trust

   

5.115% (USD LIBOR + 0.270%)

due 03/25/36 §

    1,322,981       1,208,037  

5.185% (USD LIBOR + 0.340%)

due 12/25/36 §

    184,325       177,647  

Terwin Mortgage Trust
5.265% (USD LIBOR + 0.420%)
due 04/25/37 § ~

    160,692       153,651  

THL Credit Wind River CLO Ltd. (Cayman)
5.872% (USD LIBOR + 1.080%)
due 04/15/31 § ~

    7,000,000       6,860,000  

Tikehau CLO DAC (Ireland)
3.410% (EUR LIBOR + 0.870%)
due 08/04/34 § ~

    EUR 6,000,000       6,334,107  

TRTX Issuer Ltd. (Cayman)
6.208% (SOFR + 1.650%)
due 02/15/39 § ~

    $6,600,000       6,501,542  

Venture XXVIII CLO Ltd. (Cayman)
5.798% (USD LIBOR + 0.990%)
due 07/20/30 § ~

    6,556,343       6,467,832  

Voya CLO Ltd. (Cayman)
5.742% (USD LIBOR + 0.950%)
due 04/17/30 § ~

    6,103,003       6,032,838  
   

Principal
Amount

   

Value

 

Wellfleet CLO Ltd. (Cayman)
5.698% (USD LIBOR + 0.890%)
due 04/20/29 § ~

    $3,732,726       $3,696,081  
   

 

 

 

Total Asset-Backed Securities
(Cost $352,081,309)

 

    338,114,721  
   

 

 

 

U.S. GOVERNMENT AGENCY ISSUE - 1.5%

 

Freddie Mac
0.680% due 08/06/25

    35,600,000       32,907,645  
   

 

 

 

Total U.S. Government Agency Issue
(Cost $35,600,000)

 

    32,907,645  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 15.4%

 

 

U.S. Government Agency Issue - 0.8%

 

 

0.625% due 07/15/32 ^

    19,661,731       18,795,746  
   

 

 

 

U.S. Treasury Bonds - 13.1%

 

1.375% due 11/15/40

    25,850,000       17,827,412  

1.625% due 11/15/50

    10,200,000       6,547,125  

1.875% due 02/15/41 ‡

    4,700,000       3,519,217  

2.000% due 02/15/50 ‡

    2,900,000       2,057,188  

2.250% due 08/15/49 ‡

    2,800,000       2,107,219  

2.500% due 02/15/45 ‡

    1,300,000       1,038,350  

2.750% due 08/15/42

    26,200,000       22,314,008  

2.875% due 05/15/43 ‡

    5,500,000       4,756,533  

2.875% due 08/15/45

    30,100,000       25,673,772  

3.000% due 02/15/49 ‡

    2,050,000       1,795,992  

3.125% due 02/15/42 ‡

    8,000,000       7,266,875  

3.125% due 08/15/44

    35,400,000       31,612,476  

3.250% due 05/15/42 ‡

    78,300,000       72,286,804  

3.375% due 05/15/44

    26,300,000       24,481,602  

3.625% due 02/15/44

    13,500,000       13,070,215  

3.750% due 11/15/43

    20,900,000       20,661,201  

4.250% due 05/15/39 ‡

    4,900,000       5,290,660  

4.375% due 11/15/39

    20,700,000       22,631,730  

4.500% due 08/15/39

    7,700,000       8,555,873  

4.625% due 02/15/40 ‡

    5,500,000       6,194,160  
   

 

 

 
      299,688,412  
   

 

 

 

U.S. Treasury Inflation Protected Securities - 1.5%

 

0.125% due 10/15/24 ^ ‡

    1,049,184       1,024,872  

0.125% due 07/15/31 ^

    15,846,206       14,604,872  

0.125% due 01/15/32 ^

    4,747,468       4,339,775  

0.250% due 02/15/50 ^

    814,352       591,698  

0.500% due 04/15/24 ^ ‡

    1,304,490       1,283,576  

0.625% due 01/15/24 ^

    10,382,904       10,295,423  

1.000% due 02/15/49 ^

    1,664,040       1,482,288  
   

 

 

 
      33,622,504  
   

 

 

 

U.S. Treasury Notes - 0.0%

 

2.250% due 08/15/27 ‡

    20,000       18,874  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $398,175,263)

      352,125,536  
   

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 1.9%

 

Chile Government (Chile)
3.500% due 01/31/34

    7,000,000       6,246,909  

Hydro-Quebec (Canada)
8.625% due 06/15/29

    1,000,000       1,227,303  

Israel Government International (Israel)
3.875% due 07/03/50

    2,600,000       2,177,656  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

62

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Japan Finance Organization for Municipalities (Japan)
3.375% due 09/27/23 ~

    $3,200,000       $3,172,768  

Peruvian Government (Peru)

   

6.350% due 08/12/28 ~

    PEN 7,500,000       1,945,012  

8.200% due 08/12/26 ~

    14,800,000       4,120,591  

Republic of Poland Government (Poland)
due 04/04/53 #

    $2,100,000       2,130,975  

Romanian Government (Romania)
3.000% due 02/27/27 ~

    6,500,000       5,927,935  

Saudi Government (Saudi Arabia)

   

4.875% due 07/18/33 ~

    5,000,000       5,055,315  

5.000% due 01/18/53 ~

    5,000,000       4,657,890  

State of Israel (Israel)
3.800% due 05/13/60 ~

    9,000,000       7,010,837  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $49,045,513)

 

    43,673,191  
   

 

 

 

SHORT-TERM INVESTMENTS - 8.9%

 

Commercial Paper - 1.6%

 

BAT International Finance PLC (United Kingdom)

   

5.900% due 05/24/23

    1,800,000       1,785,380  

5.900% due 05/25/23

    2,800,000       2,776,814  

Constellation Brands, Inc.

   

5.260% due 04/04/23

    6,200,000       6,196,263  

5.290% due 04/12/23

    4,900,000       4,891,053  

Dominion Energy, Inc.
5.800% due 04/24/23

    2,600,000       2,590,961  

Edison International
5.550% due 05/19/23

    4,600,000       4,567,812  

Entergy Corp.
5.000% due 04/05/23

    4,900,000       4,896,499  

NextEra Energy Capital Holdings, Inc.
5.600% due 05/08/23

    4,600,000       4,573,367  

Walgreens Boots Alliance, Inc.
5.180% due 04/03/23

    4,900,000       4,897,862  
   

 

 

 
      37,176,011  
   

 

 

 

Repurchase Agreements - 7.2%

 

BNP Paribas SA

   

4.910% due 04/03/23 (Dated 03/31/23, repurchase price of $49,820,377; collateralized by U.S. Treasury Notes: 1.130% due 10/31/26 and value $50,527,161)

    49,800,000       49,800,000  

4.820% due 04/04/23 (Dated 04/03/23, repurchase price of $53,607,176; collateralized by U.S. Treasury Notes: 0.130% due 04/15/27 and value $54,466,628)

    53,600,000       53,600,000  

Fixed Income Clearing Corp.
4.450% due 04/03/23 (Dated 03/31/23, repurchase price of $8,791,570; collateralized by U.S. Treasury Notes: 2.875% due 06/15/2025 and value $8,964,147)

    8,788,311       8,788,311  

Royal Bank of Canada

   

4.440% due 04/05/23 (Dated 03/29/23, repurchase price of $29,621,946; collateralized by Province of Ontario: 4.700% due 06/02/37 and value $29,774,340)

    CAD 40,000,000       29,596,744  

4.400% due 04/06/23 (Dated 03/30/23, repurchase price of $11,108,145; collateralized by Province of Ontario: 2.900% due 06/02/49 and value $11,301,297)

    15,000,000       11,098,779  
   

Principal
Amount

   

Value

 

4.420% due 04/06/23 (Dated 03/30/23, repurchase price of $11,108,187; collateralized by Province of Ontario: 2.800% due 06/02/48 and value $11,300,489)

    CAD 15,000,000       $11,098,779  
   

 

 

 
      163,982,613  
   

 

 

 

U.S. Treasury Bills - 0.1%

 

2.366% due 04/06/23

    $748,000       747,713  

4.547% due 04/06/23

    504,000       503,806  
   

 

 

 
      1,251,519  
   

 

 

 

Total Short-Term Investments
(Cost $201,961,249)

 

    202,410,143  
   

 

 

 

TOTAL INVESTMENTS - 132.5%
(Cost $3,186,552,166)

 

    3,020,676,654  
   

 

 

 

TOTAL SECURITIES SOLD SHORT - (1.6%)
(Proceeds $35,992,969)

 

    (36,167,093
   

 

 

 

DERIVATIVES - (0.4%)

      (8,977,548
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (30.5%)

 

    (695,143,781
   

 

 

 

NET ASSETS - 100.0%

      $2,280,388,232  
   

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $894,713 or less than 0.1% of the Fund’s net assets were in default as of March 31, 2023.

 

(b)

The average amount of borrowings by the Fund on reverse repurchase agreements during the period ended March 31, 2023 was $ 18,149,315 at a weighted average interest rate of 4.461%. The average amount of borrowings by the Fund on sale-buyback financing transactions during the period ended March 31, 2023 was $ 377,530 at a weighted average interest rate of 4.588%.

 

(c)

Securities sold short outstanding as of March 31, 2023 were as follows:

 

Description   Principal
Amount
    Value  

Mortgage-Backed Securities - (1.6%)

 

Fannie Mae

   

due 05/11/53 #

    ($16,800,000     ($13,903,507

due 05/11/53 #

    (25,800,000     (22,263,586
   

 

 

 

Total Securities Sold Short
(Proceeds $35,992,969)

 

    ($36,167,093
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

63

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(d)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
    

Number of

Contracts

     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

Euro-Bobl

   06/23        142        $17,741,590        $18,153,400        $411,810  

Eurodollar

   12/23        41        9,891,293        9,782,600        (108,693

U.S. Treasury 5-Year Notes

   06/23        2,489        266,967,980        272,564,947        5,596,967  

U.S. Treasury Ultra Long Bonds

   06/23        62        8,396,738        8,749,750        353,012  
                

 

 

 
     6,253,096  
                

 

 

 

Short Futures Outstanding

                                  

Euro-BTP

   06/23        56        6,780,235        7,005,435        (225,200

Euro-Bund

   06/23        600        85,653,427        88,391,079        (2,737,652

Euro-Buxl

   06/23        28        4,008,282        4,277,354        (269,072

Euro-OAT

   06/23        60        8,203,311        8,474,065        (270,754

Japan 10-Year Bonds

   06/23        96        105,113,617        107,094,860        (1,981,243

U.S. Treasury 2-Year Notes

   06/23        1,057        216,019,026        218,220,954        (2,201,928

U.S. Treasury 10-Year Notes

   06/23        498        57,051,665        57,231,094        (179,429

U.S. Treasury 30-Year Bonds

   06/23        18        2,253,489        2,360,813        (107,324
                

 

 

 
     (7,972,602
                

 

 

 

Total Futures Contracts

 

     ($1,719,506
                

 

 

 

 

(e)

Forward foreign currency contracts outstanding as of March 31, 2023 were as follows:

 

Currency
Purchased
          Currency
Sold
          Settlement
Month
       Counterparty        Unrealized
Appreciation
       Unrealized
Depreciation
 
AUD      34,651,000        USD      23,964,063        05/23     BOA       $-          ($766,674
BRL      16,329,176        USD      3,162,680        04/23     CIT       59,050          -  
CAD      163,472        USD      120,765        04/23     BOA       192          -  
CAD      140,008        USD      103,506        04/23     HSB       90          -  
CNH      30,424,087        USD      4,390,200        05/23     UBS       48,988          -  
DKK      3,560,515        USD      517,216        04/23     BNP       1,103          -  
DKK      34,150,000        USD      4,921,227        04/23     BOA       50,132          -  
DKK      2,472,301        USD      360,315        04/23     CIT       -          (412
EUR      1,136,000        USD      1,238,984        05/23     BOA       -          (4,079
EUR      937,000        USD      1,001,747        05/23     BOA       16,832          -  
EUR      2,947,000        USD      3,160,462        05/23     SCB       43,116          -  
GBP      1,079,000        USD      1,301,914        05/23     BNP       30,286          -  
GBP      1,171,000        USD      1,431,081        05/23     CIT       14,707          -  
GBP      7,726,000        USD      9,434,072        05/23     NWM       104,923          -  
IDR      174,032,408,324        USD      11,372,144        06/23     BNP       251,768          -  
IDR      13,720,881,230        USD      914,981        06/23     CIT       1,800          -  
IDR      3,203,760,000        USD      211,065        06/23     SCB       2,999          -  
JPY      1,379,495,005        USD      10,532,982        05/23     BNP       -          (79,989
JPY      260,300,000        USD      1,979,479        05/23     HSB       -          (7,081
JPY      206,000,000        USD      1,580,762        05/23     SCB       -          (19,817
JPY      739,598,729        USD      5,659,937        05/23     TDB       -          (55,698
MXN      54,380        USD      2,906        06/23     CIT       67          -  
PEN      27,414,101        USD      6,933,554        04/23     CIT       346,985          -  
PEN      2,861,060        USD      756,434        04/23     JPM       3,920          -  
PEN      21,911,683        USD      5,800,885        05/23     BOA       10,944          -  
PEN      9,032,080        USD      2,318,681        06/23     CIT       69,474          -  
PEN      1,986,149        USD      508,448        08/23     CIT       15,225          -  
THB      413,287,544        USD      12,616,000        04/23     GSC       -          (513,256
TWD      31,574,009        USD      1,043,000        06/23     BNP       -          (822
USD      1,927,548        AUD      2,876,000        05/23     SCB       2,187          -  
USD      3,167,823        BRL      16,329,176        04/23     CIT       -          (53,907
USD      14,880,470        CAD        20,321,030        04/23     BNP       -          (155,820

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

64

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Currency
Purchased
          Currency
Sold
          Settlement
Month
       Counterparty          Unrealized
Appreciation
       Unrealized
Depreciation
 

USD

     11,042,102        CAD      15,012,686        04/23       BOA         $–          ($66,490

USD

     14,655,322        CAD      20,017,030        04/23       CIT                  (156,030

USD

     11,042,076        CAD      15,012,687        04/23       JPM                  (66,516

USD

     120,765        CAD      163,405        05/23       BOA                  (193

USD

     103,506        CAD      139,950        05/23       HSB                  (89

USD

     32,285        CNH      218,000        04/23       BOA         542           

USD

     4,656,963        CNH      31,252,879        05/23       HSB         96,846           

USD

     2,870,566        DKK      20,130,461        04/23       BOA                  (59,909

USD

     3,124,091        DKK      21,979,638        04/23       CIT                  (75,577

USD

     517,216        DKK      3,553,895        05/23       BNP                  (1,087

USD

     280,978        DKK      1,921,093        05/23       BRC         804           

USD

     360,315        DKK      2,467,671        05/23       CIT         428           

USD

                    50,667,353        EUR      47,204,000        05/23       BNP                  (646,419

USD

     876,469        EUR      817,000        05/23       BOA                  (11,662

USD

     1,235,425        EUR      1,150,000        05/23       CIT                  (14,699

USD

     717,196        GBP      587,000        05/23       BOA                  (7,551

USD

     79,862,541        GBP      66,096,000        05/23       BRC                  (1,743,649

USD

     26,900        IDR      414,855,089        06/23       BNP                  (807

USD

     1,097,000        IDR      16,901,479,000        06/23       MSC                  (32,298

USD

     3,065,851        JPY      404,200,000        05/23       BOA         3,064           

USD

     2,705,905        JPY      358,700,000        05/23       CIT                  (12,110

USD

     3,477,405        JPY      462,800,000        05/23       HSB                  (29,418

USD

     5,811,347        PEN      21,911,683        04/23       BOA                  (9,240

USD

     4,998,438        PEN      19,739,730        04/23       CIT                  (239,087

USD

     761,305        PEN      2,861,060        04/23       JPM         951           

USD

     1,774,578        PEN      6,806,038        05/23       BOA                  (29,720

USD

     8,491,744        PEN      33,695,239        05/23       CIT                  (438,139

USD

     3,152,294        PEN      12,247,922        07/23       CIT                  (83,760

USD

     936,000        THB      31,766,436        04/23       CIT         5,749           

USD

     6,910,091        TWD      210,785,423        06/23       BNP                  (48,253

USD

     4,036        TWD      123,280        06/23       CIT                  (33

USD

     5,114,268        TWD      155,917,406        06/23       GSC                  (32,169

USD

     338,910        TWD      10,330,994        06/23       SCB                  (2,132
                       

 

 

      

 

 

 

Total Forward Foreign Currency Contracts

            $1,183,172          ($5,464,592
                       

 

 

      

 

 

 

 

(f)

Purchased options outstanding as of March 31, 2023 were as follows:

Interest Rate Swaptions

 

Description    Pay/Receive
Floating Rate
     Floating Rate
Index
     Exercise
Rate
     Expiration
Date
     Counter-
party
     Notional
Amount
     Cost      Value  

Put - 10-Year Interest Rate Swap

     Receive        SOFR        4.200%        09/06/23        GSC        $7,900,000        $79,000        $21,741  

Put - 1-Year Interest Rate Swap

     Receive        SOFR        3.750%        09/11/23        MSC        142,500,000        1,083,000        948,722  

Put - 1-Year Interest Rate Swap

     Receive        SOFR        3.750%        09/12/23        BOA        75,600,000        604,800        503,299  

Put - 10-Year Interest Rate Swap

     Receive        SOFR        3.850%        03/04/24        BOA        6,100,000        146,146        71,319  
                    

 

 

    

 

 

 

Total Purchased Options

                       $1,912,946        $1,545,081  
                    

 

 

    

 

 

 

 

(g)

Premiums received and value of written options outstanding as of March 31, 2023 were as follows:

Interest Rate Swaptions

 

Description    Pay/Receive
Floating Rate
     Floating Rate
Index
     Exercise
Rate
     Expiration
Date
     Counter-
party
   Notional
Amount
     Premium      Value  

Call - 10-Year Interest Rate Swap

     Receive        SOFR        2.950%        05/04/23      GSC      $3,900,000        $20,329        ($20,329

Call - 10-Year Interest Rate Swap

     Receive        6-Month EUR-LIBOR        2.067%        06/09/23      GSC      EUR 5,500,000        64,592        (8,578

Call - 1-Year Interest Rate Swap

     Receive        SOFR        2.910%        11/10/23      GSC      $9,300,000        61,729        (17,212

Call - 1-Year Interest Rate Swap

     Receive        SOFR        2.150%        11/20/23      GSC      9,600,000        33,480        (8,644
                    

 

 

    

 

 

 
                       180,130        (54,763
                    

 

 

    

 

 

 

Put - 10-Year Interest Rate Swap

     Pay        SOFR        3.450%        05/04/23      GSC      3,900,000        20,329        (20,329

Put - 10-Year Interest Rate Swap

     Pay        6-Month EUR-LIBOR        3.140%        06/09/23      GSC      EUR 5,500,000        76,014        (64,992

Put - 1-Year Interest Rate Swap

     Pay        SOFR        5.766%        09/06/23      GSC      $65,000,000        78,000        (16,581

Put - 1-Year Interest Rate Swap

     Pay        SOFR        4.233%        09/11/23      MSC      142,500,000        684,000        (556,947

Put - 1-Year Interest Rate Swap

     Pay        SOFR        4.715%        09/11/23      MSC      142,500,000        399,000        (283,532

Put - 1-Year Interest Rate Swap

     Pay        SOFR        4.250%        09/12/23      BOA      75,600,000        378,000        (289,004

Put - 1-Year Interest Rate Swap

     Pay        SOFR        4.750%        09/12/23      BOA      75,600,000        226,800        (142,408

Put - 1-Year Interest Rate Swap

     Pay        SOFR        2.910%        11/10/23      GSC      9,300,000        61,729        (105,059

Put - 1-Year Interest Rate Swap

     Pay        SOFR        3.650%        11/20/23      GSC      9,600,000        33,480        (58,939

Put - 1-Year Interest Rate Swap

     Pay        SOFR        5.100%        03/04/24      BOA      50,800,000        146,685        (43,983
                    

 

 

    

 

 

 
                       2,104,037        (1,581,774
                    

 

 

    

 

 

 

Total Interest Rate Swaptions

 

     $2,284,167        ($1,636,537
                    

 

 

    

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

65

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Options on Futures

 

Description    Exercise
Price
     Expiration
Date
     Exchange    Number of
Contracts
     Notional
Amount
     Premium      Value  

Call - U.S. Treasury 5-Year Notes (05/23)

     $111.50        04/21/23      CME      26        $2,899,000        $10,577        ($5,484

Cal - U.S. Treasury 10-Year Notes (05/23)

     119.00        04/21/23      CME      92        10,948,000        84,110        (11,500
                 

 

 

    

 

 

 
                    94,687        (16,984
                 

 

 

    

 

 

 

Put - U.S. Treasury 5-Year Notes (05/23)

     108.50        04/21/23      CME      26        2,821,000        8,771        (6,906

Put - U.S. Treasury 10-Year Notes (05/23)

     112.00        04/21/23      CME      92        10,304,000        49,263        (10,063

Put - Eurodollar (12/23)

     96.50        12/18/23      CME      466        112,422,500        488,963        (1,537,800
                 

 

 

    

 

 

 
                    546,997        (1,554,769
                 

 

 

    

 

 

 

Total Options on Futures

                    $641,684        ($1,571,753
                 

 

 

    

 

 

 

Total Written Options

                    $2,925,851        ($3,208,290
                 

 

 

    

 

 

 

 

(h)

Swap agreements outstanding as of March 31, 2023 were as follows:

Credit Default Swaps on Corporate and Sovereign Issues - Sell Protection (1)

 

Referenced Obligation    Payment
Frequency
   Fixed Deal
Receive
Rate
     Expiration
Date
     Counter-
party
   Implied Credit
Spread at
03/31/23 (2)
     Notional
Amount (3)
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 

Banco do Brasil SA

   Q      1.000%        12/20/24      JPM      1.566%        $2,500,000        ($22,430      ($52,673      $30,243  

South Africa Government

   Q      1.000%        12/20/26      MSC      2.168%        4,800,000        (186,904      (161,400      (25,504

Colombia Government

   Q      1.000%        06/20/27      GSC      2.348%        4,600,000        (231,065      (152,757      (78,308

Colombia Government

   Q      1.000%        06/20/27      MSC      2.348%        1,600,000        (80,371      (73,120      (7,251

Colombia Government

   Q      1.000%        12/20/27      GSC      2.611%        2,100,000        (138,836      (170,860      32,024  

Colombia Government

   Q      1.000%        12/20/27      MSC      2.611%        1,900,000        (125,613      (154,587      28,974  
                    

 

 

    

 

 

    

 

 

 
                       (785,219      (765,397      (19,822
                    

 

 

    

 

 

    

 

 

 
                        Exchange                                   

Barclays Bank PLC

   Q      1.000%        12/20/23      ICE      0.909%        EUR 2,400,000        2,754        1,981        773  

General Electric Co.

   Q      1.000%        12/20/23      ICE      0.267%        $2,900,000        16,162        (19,415      35,577  

General Electric Co.

   Q      1.000%        06/20/24      ICE      0.358%        3,950,000        31,657        (19,569      51,226  

General Electric Co.

   Q      1.000%        12/20/24      ICE      0.430%        2,200,000        21,625        (11,993      33,618  

Boeing Co.

   Q      1.000%        06/20/25      ICE      1.000%        6,900,000        56,202        (78,506      134,708  

Rolls-Royce PLC

   Q      1.000%        06/20/25      ICE      1.475%        EUR 4,300,000        (43,311      (314,595      271,284  

Verizon Communications, Inc.

   Q      1.000%        12/20/26      ICE      0.817%        $7,300,000        48,163        124,114        (75,951

British Telecommunications PLC

   Q      1.000%        06/20/28      ICE      1.157%        EUR 6,200,000        (49,666      (25,147      (24,519
                    

 

 

    

 

 

    

 

 

 
                       83,586        (343,130      426,716  
                    

 

 

    

 

 

    

 

 

 

Total Credit Default Swaps on Corporate and Sovereign Issues – Sell Protection

 

        ($701,633      ($1,108,527      $406,894  
                    

 

 

    

 

 

    

 

 

 

Credit Default Swaps on Credit Indices - Buy Protection (4)

 

Referenced Obligation    Payment
Frequency
   Fixed Deal
Pay
Rate
     Expiration
Date
     Exchange    Notional
Amount (3)
     Value (5)      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 

CDX HY35 5Y

   Q      5.000%        12/20/25      ICE      $2,475,000        ($73,933      ($96,188      $22,255  

CDX HY36 5Y

   Q      5.000%        06/20/26      ICE      4,752,000        (152,354      (284,845      132,491  
                 

 

 

    

 

 

    

 

 

 
                    ($226,287      ($381,033      $154,746  
                 

 

 

    

 

 

    

 

 

 

 

Credit Default Swaps on Credit Indices - Sell Protection (1)

 

 

Referenced Obligation    Payment
Frequency
   Fixed Deal
Receive
Rate
     Expiration
Date
     Exchange    Notional
Amount (3)
     Value (5)      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 

CDX IG39 5Y

   Q      1.000%        12/20/27      ICE      $6,400,000        $76,571        $41,617        $34,954  

CDX IG40 5Y

   Q      1.000%        06/20/28      ICE      10,000,000        117,703        73,678        44,025  
                 

 

 

    

 

 

    

 

 

 
                    $194,274        $115,295        $78,979  
                 

 

 

    

 

 

    

 

 

 

Total Credit Default Swaps

                    ($733,646      ($1,374,265      $640,619  
                 

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

66

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

  (1)

If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying investments comprising the referenced index or (ii) pay a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index.

  (2)

An implied credit spread is the spread in yield between a U.S. Treasury security and the referenced obligation or underlying investment that are identical in all respects except for the quality rating. Implied credit spreads, represented in the absolute terms, utilized in determining the value of credit default swap agreements on corporate and sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood of risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter the agreement. Wider credit spreads, in comparison to narrower credit spreads, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as “Defaulted” indicates a credit event has occurred for the referenced entity or obligation.

  (3)

The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

  (4)

If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying investments comprising the referenced index or (ii) receive a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index.

  (5)

The quoted market prices and resulting values for credit default swap agreements on credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative had the notional amount of the swap agreement been closed/sold as of three-month period end. Increasing values (buy protection) or decreasing values (sell protection), when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement.

 

Interest Rate Swaps - Long

                    
Receive    Pay    Payment
Frequency
Receive Rate/
Pay Rate
     Exchange      Expiration
Date
     Notional
Amount
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 
0.000%    1-Day JPY-TONAR      A/A        LCH        03/17/24        JPY 21,440,000,000        ($84,097      $134,738        ($218,835
12.600%    Brazil CETIP Interbank      Z/Z        CME        01/02/25        BRL 750,000        367        -        367  
11.960%    Brazil CETIP Interbank      Z/Z        CME        01/04/27        33,800,000        (53,959      -        (53,959
11.980%    Brazil CETIP Interbank      Z/Z        CME        01/04/27        39,600,000        (58,756      -        (58,756
12.980%    Brazil CETIP Interbank      Z/Z        CME        01/04/27        35,200,000        150,005        -        150,005  
12.990%    Brazil CETIP Interbank      Z/Z        CME        01/04/27        17,600,000        75,821        -        75,821  
13.024%    Brazil CETIP Interbank      Z/Z        CME        01/04/27        17,600,000        78,599        -        78,599  
1.788%    1-Day USD-SOFR      A/A        LCH        05/03/27        $21,500,000        (1,608,695      (61,525      (1,547,170
1.000%    6-Month EUR-LIBOR      A/S        LCH        05/18/27        EUR 29,000,000        (2,504,251      (485,891      (2,018,360
2.850%    1-Day USD-SOFR      A/A        LCH        08/29/27        $50,500,000        (1,488,896      (231,306      (1,257,590
2.547%    6-Month EUR-LIBOR      A/S        LCH        03/09/33        EUR 4,500,000        (174,634      (100,010      (74,624
3.000%    6-Month EUR-LIBOR      A/S        LCH        09/20/33        68,200,000        423,127        (481,929      905,056  
0.450%    1-Day JPY-TONAR      A/A        LCH        12/15/51        JPY 310,000,000        (358,836      (216,279      (142,557
                 

 

 

    

 

 

    

 

 

 
     ($5,604,205      ($1,442,202      ($4,162,003
                 

 

 

    

 

 

    

 

 

 

Interest Rate Swaps - Short

                    
Pay    Receive    Payment
Frequency
Pay Rate/
Receive Rate
     Exchange      Expiration
Date
     Notional
Amount
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 
12.351%    Brazil CETIP Interbank      Z/Z        CME        01/04/27        BRL 31,300,000        ($52,285      $-        ($52,285
12.417%    Brazil CETIP Interbank      Z/Z        CME        01/04/27        78,300,000        (154,282      -        (154,282
1.750%    1-Day USD-SOFR      A/A        CME        06/15/32        $34,800,000        4,442,188        4,969,338        (527,150
3.156%    1-Day USD-SOFR      A/A        LCH        03/10/33        27,600,000        (185,389      -        (185,389
0.750%    1-Day JPY-TONAR      S/S        LCH        03/20/38        JPY 50,000,000        8,402        (17,549      25,951  
0.800%    1-Day JPY-TONAR      S/S        LCH        10/22/38        220,000,000        26,248        110        26,138  
0.705%    1-Day JPY-TONAR      S/S        LCH        10/31/38        170,000,000        39,180        8,720        30,460  
0.785%    1-Day JPY-TONAR      S/S        LCH        11/12/38        310,000,000        44,205        884        43,321  
0.750%    1-Day JPY-TONAR      S/S        LCH        12/20/38        42,800,000        8,293        (18,364      26,657  
0.500%    1-Day JPY-TONAR      A/A        LCH        03/15/42        2,459,000,000        1,564,096        677,552        886,544  
0.662%    1-Day JPY-TONAR      A/A        LCH        04/19/42        138,000,000        52,292        -        52,292  
0.800%    1-Day JPY-TONAR      A/A        LCH        06/15/52        3,770,000,000        1,748,820        (6,832      1,755,652  
1.750%    1-Day USD-SOFR      A/A        CME        12/21/52        $11,600,000        2,788,076        2,118,574        669,502  
3.250%    1-Day GBP-SONIA      A/A        LCH        09/20/53        GBP 7,300,000        (167,419      222,021        (389,440
                 

 

 

    

 

 

    

 

 

 
     $10,162,425        $7,954,454        $2,207,971  
                 

 

 

    

 

 

    

 

 

 

Total Interest Rate Swaps

       $4,558,220        $6,512,252        ($1,954,032
                 

 

 

    

 

 

    

 

 

 

Total Swap Agreements

       $3,824,574        $5,137,987        ($1,313,413
                 

 

 

    

 

 

    

 

 

 

 

(i)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $231,298        $231,298        $-        $-  
 

Corporate Bonds & Notes

     779,129,054        -        779,129,054        -  
 

Mortgage-Backed Securities

     1,272,085,066        -        1,272,085,066        -  
 

Asset-Backed Securities

     338,114,721        -        338,114,721        -  
 

U.S. Government Agency Issue

     32,907,645        -        32,907,645        -  
 

U.S. Treasury Obligations

     352,125,536        -        352,125,536        -  
 

Foreign Government Bonds & Notes

     43,673,191        -        43,673,191        -  
 

Short-Term Investments

     202,410,143        -        202,410,143        -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     852,152        -        852,152        -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     1,183,172        -        1,183,172        -  
 

Interest Rate Contracts

           
 

Futures

     6,361,789        6,361,789        -        -  
 

Purchased Options

     1,545,081        -        1,545,081        -  
 

Swaps

     4,726,365        -        4,726,365        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     12,633,235        6,361,789        6,271,446        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset - Derivatives

     14,668,559        6,361,789        8,306,770        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     3,035,345,213        6,593,087        3,028,752,126        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Securities Sold Short

           
 

Mortgage-Backed Securities

     (36,167,093      -        (36,167,093      -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     (211,533      -        (211,533      -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     (5,464,592      -        (5,464,592      -  
 

Interest Rate Contracts

           
 

Futures

     (8,081,295      (8,081,295      -        -  
 

Written Options

     (3,208,290      -        (3,208,290      -  
 

Swaps

     (6,680,397      -        (6,680,397      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     (17,969,982      (8,081,295      (9,888,687      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities - Derivatives

     (23,646,107      (8,081,295      (15,564,812      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (59,813,200      (8,081,295      (51,731,905      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $2,975,532,013        ($1,488,208      $2,977,020,221        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

67

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 44.8%

 

Basic Materials - 1.9%

 

ArcelorMittal SA (Luxembourg)
3.600% due 07/16/24

    $1,135,000       $1,111,958  

Celanese US Holdings LLC

   

5.900% due 07/05/24

    3,770,000       3,773,126  

6.050% due 03/15/25

    4,505,000       4,533,996  

Celulosa Arauco y Constitucion SA (Chile)
4.500% due 08/01/24

    1,300,000       1,276,009  

Ecolab, Inc.

   

1.650% due 02/01/27

    1,050,000       952,433  

5.250% due 01/15/28

    2,910,000       3,020,930  

LG Chem Ltd. (South Korea)
3.250% due 10/15/24 ~

    3,000,000       2,918,339  

LYB International Finance III LLC
1.250% due 10/01/25

    1,943,000       1,761,266  

Nucor Corp.

   

2.000% due 06/01/25

    670,000       630,508  

3.950% due 05/23/25

    1,280,000       1,260,467  

Nutrien Ltd. (Canada)
4.900% due 03/27/28

    1,020,000       1,020,468  

POSCO (South Korea)

   

4.375% due 08/04/25 ~

    2,000,000       1,969,164  

5.625% due 01/17/26 ~

    4,500,000       4,551,651  

Sherwin-Williams Co.

   

4.050% due 08/08/24

    480,000       474,128  

4.250% due 08/08/25

    970,000       959,698  

Westlake Corp.
0.875% due 08/15/24

    1,805,000       1,710,670  
   

 

 

 
    31,924,811  
   

 

 

 

Communications - 2.9%

   

Charter Communications Operating LLC/Charter Communications Operating Capital
4.908% due 07/23/25

    8,549,000       8,467,132  

Comcast Corp.

   

3.375% due 08/15/25

    1,710,000       1,671,143  

3.950% due 10/15/25

    250,000       247,295  

Cox Communications, Inc.
3.150% due 08/15/24 ~

    4,606,000       4,491,196  

KT Corp. (South Korea)
4.000% due 08/08/25 ~

    1,680,000       1,645,226  

NBN Co. Ltd. (Australia)
1.450% due 05/05/26 ~

    3,725,000       3,369,248  

NTT Finance Corp. (Japan)

   

0.583% due 03/01/24 ~

    1,065,000       1,021,432  

4.142% due 07/26/24 ~

    440,000       436,136  

4.239% due 07/25/25 ~

    385,000       379,964  

Rogers Communications, Inc. (Canada)
3.200% due 03/15/27 ~

    2,995,000       2,820,059  

SES SA (Luxembourg)
3.600% due 04/04/23 ~

    1,670,000       1,670,000  

Sky Ltd. (United Kingdom)
3.750% due 09/16/24 ~

    6,130,000       6,013,993  

T-Mobile USA, Inc.

   

2.250% due 02/15/26

    1,895,000       1,764,171  

3.500% due 04/15/25

    3,470,000       3,374,863  

Verizon Communications, Inc.

   

0.850% due 11/20/25

    3,620,000       3,296,986  

1.450% due 03/20/26

    3,050,000       2,807,576  

2.625% due 08/15/26

    3,610,000       3,414,640  
   

 

 

 
    46,891,060  
   

 

 

 
   

Principal
Amount

   

Value

 

Consumer, Cyclical - 4.2%

   

7-Eleven, Inc.
0.800% due 02/10/24 ~

    $1,285,000       $1,230,769  

Advance Auto Parts, Inc.
5.900% due 03/09/26

    535,000       546,236  

American Airlines Pass-Through Trust Class B
3.700% due 04/15/27

    893,836       834,904  

AutoZone, Inc.
3.625% due 04/15/25

    1,320,000       1,287,056  

Brunswick Corp.
0.850% due 08/18/24

    3,440,000       3,214,532  

Daimler Truck Finance North America LLC (Germany)

   

1.625% due 12/13/24 ~

    2,665,000       2,523,443  

5.150% due 01/16/26 ~

    765,000       768,448  

5.200% due 01/17/25 ~

    950,000       952,075  

General Motors Financial Co., Inc.
2.900% due 02/26/25

    4,520,000       4,317,079  

Genuine Parts Co.
1.750% due 02/01/25

    1,065,000       1,006,682  

Hasbro, Inc.
3.000% due 11/19/24

    4,800,000       4,631,131  

Hyatt Hotels Corp.
1.300% due 10/01/23

    1,150,000       1,125,998  

Hyundai Capital America

   

0.800% due 01/08/24 ~

    1,570,000       1,512,973  

0.875% due 06/14/24 ~

    2,015,000       1,908,467  

1.000% due 09/17/24 ~

    1,305,000       1,223,905  

5.500% due 03/30/26 ~

    1,125,000       1,127,342  

5.600% due 03/30/28 ~

    1,480,000       1,483,515  

Hyundai Capital Services, Inc. (South Korea)
2.125% due 04/24/25 ~

    1,010,000       947,688  

Lowe’s Cos., Inc.

   

3.350% due 04/01/27

    825,000       791,529  

4.400% due 09/08/25

    2,772,000       2,759,973  

4.800% due 04/01/26

    1,635,000       1,645,109  

Marriott International, Inc.

   

3.750% due 03/15/25

    475,000       462,330  

4.900% due 04/15/29

    510,000       505,783  

5.750% due 05/01/25

    480,000       483,592  

Mercedes-Benz Finance North America LLC (Germany)

   

4.800% due 03/30/26 ~

    1,725,000       1,727,539  

4.950% due 03/30/25 ~

    1,350,000       1,351,850  

Nissan Motor Acceptance Co. LLC
3.875% due 09/21/23 ~

    250,000       247,240  

Nissan Motor Co. Ltd. (Japan)
3.043% due 09/15/23 ~

    4,460,000       4,394,090  

Nordstrom, Inc.
2.300% due 04/08/24

    320,000       306,022  

QVC, Inc.
4.850% due 04/01/24

    2,385,000       1,911,029  

Ross Stores, Inc.

   

0.875% due 04/15/26

    960,000       854,790  

4.600% due 04/15/25

    5,315,000       5,306,904  

Starbucks Corp.
4.750% due 02/15/26

    2,105,000       2,118,259  

Stellantis Finance US, Inc.
1.711% due 01/29/27 ~

    1,940,000       1,717,530  

United Airlines Pass-Through Trust Class B
3.500% due 11/01/29

    536,390       485,576  

Volkswagen Group of America Finance LLC (Germany)

   

0.875% due 11/22/23 ~

    1,415,000       1,376,368  

3.125% due 05/12/23 ~

    680,000       678,084  

3.950% due 06/06/25 ~

    1,765,000       1,731,962  

Warnermedia Holdings, Inc.

   

3.755% due 03/15/27 ~

    6,730,000       6,343,526  

6.412% due 03/15/26

    1,170,000       1,176,262  
   

 

 

 
    69,017,590  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

68

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Consumer, Non-Cyclical - 8.1%

 

AbbVie, Inc.

   

2.600% due 11/21/24

    $7,590,000       $7,327,991  

2.950% due 11/21/26

    5,005,000       4,765,419  

3.200% due 05/14/26

    335,000       323,646  

Amgen, Inc.

   

5.150% due 03/02/28

    1,910,000       1,951,169  

5.250% due 03/02/25

    2,395,000       2,422,550  

Anheuser-Busch Cos., LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium)
3.650% due 02/01/26

    2,665,000       2,617,377  

Astrazeneca Finance LLC (United Kingdom)
1.200% due 05/28/26

    3,930,000       3,581,246  

BAT International Finance PLC (United Kingdom)

   

1.668% due 03/25/26

    2,395,000       2,180,945  

4.448% due 03/16/28

    4,490,000       4,271,896  

Bayer US Finance II LLC (Germany)
3.875% due 12/15/23 ~

    3,750,000       3,708,646  

Becton Dickinson & Co.

   

3.363% due 06/06/24

    1,616,000       1,586,757  

3.734% due 12/15/24

    1,473,000       1,440,888  

4.693% due 02/13/28

    3,635,000       3,652,113  

Cardinal Health, Inc.

   

3.079% due 06/15/24

    1,285,000       1,256,427  

3.500% due 11/15/24

    2,100,000       2,048,943  

Coca-Cola Europacific Partners PLC (United Kingdom)
0.800% due 05/03/24 ~

    4,235,000       4,040,983  

CSL Finance PLC (Australia)
3.850% due 04/27/27 ~

    755,000       736,528  

CVS Health Corp.

   

2.875% due 06/01/26

    1,100,000       1,045,841  

3.000% due 08/15/26

    1,060,000       1,012,029  

5.000% due 02/20/26

    2,440,000       2,468,658  

Diageo Capital PLC (United Kingdom)

   

1.375% due 09/29/25

    1,300,000       1,201,942  

5.200% due 10/24/25

    1,600,000       1,622,145  

Elevance Health, Inc.

   

2.375% due 01/15/25

    780,000       747,057  

5.350% due 10/15/25

    805,000       812,549  

HCA, Inc.

   

3.125% due 03/15/27 ~

    2,555,000       2,376,932  

5.375% due 02/01/25

    1,065,000       1,066,132  

Health Care Service Corp. A Mutual Legal Reserve Co.
1.500% due 06/01/25 ~

    3,795,000       3,538,050  

HPHT Finance 19 Ltd. (Hong Kong)
2.875% due 11/05/24 ~

    1,880,000       1,819,014  

HPHT Finance 21 II Ltd. (Hong Kong)
1.500% due 09/17/26 ~

    3,450,000       3,087,060  

Humana, Inc.

   

0.650% due 08/03/23

    1,140,000       1,123,981  

1.350% due 02/03/27

    1,250,000       1,098,435  

3.850% due 10/01/24

    2,120,000       2,085,032  

4.500% due 04/01/25

    2,015,000       1,998,364  

5.750% due 03/01/28

    725,000       753,500  

Imperial Brands Finance PLC (United Kingdom)

   

3.125% due 07/26/24 ~

    5,615,000       5,441,677  

4.250% due 07/21/25 ~

    1,315,000       1,274,094  

JDE Peet’s NV (Netherlands)
0.800% due 09/24/24 ~

    1,510,000       1,407,917  

Kenvue, Inc.

   

5.350% due 03/22/26 ~

    1,075,000       1,103,588  

5.500% due 03/22/25 ~

    2,050,000       2,084,828  

Mondelez International Holdings Netherlands BV
4.250% due 09/15/25 ~

    1,410,000       1,396,436  

Mondelez International, Inc.
2.625% due 03/17/27

    1,895,000       1,772,780  

Moody’s Corp.
3.750% due 03/24/25

    2,285,000       2,239,844  
   

Principal
Amount

   

Value

 

Nestle Holdings, Inc.
5.250% due 03/13/26 ~

    $ 2,925,000       $ 3,003,497  

PeaceHealth Obligated Group
1.375% due 11/15/25

    455,000       414,392  

PerkinElmer, Inc.

   

0.550% due 09/15/23

    1,385,000       1,357,067  

0.850% due 09/15/24

    2,640,000       2,479,666  

Perrigo Finance Unlimited Co.
3.900% due 12/15/24

    5,480,000       5,372,784  

Philip Morris International, Inc.

   

5.000% due 11/17/25

    1,305,000       1,315,842  

5.125% due 11/15/24

    1,775,000       1,787,294  

Royalty Pharma PLC
0.750% due 09/02/23

    1,865,000       1,818,788  

S&P Global, Inc.
2.450% due 03/01/27

    4,790,000       4,495,314  

Shire Acquisitions Investments Ireland DAC
2.875% due 09/23/23

    930,000       918,778  

Triton Container International Ltd. (Bermuda)
0.800% due 08/01/23 ~

    2,770,000       2,706,979  

UnitedHealth Group, Inc.

   

3.700% due 05/15/27

    2,755,000       2,697,206  

4.250% due 01/15/29

    3,265,000       3,242,748  

5.150% due 10/15/25

    2,305,000       2,350,007  

5.250% due 02/15/28

    1,750,000       1,821,059  

Viatris, Inc.
1.650% due 06/22/25

    1,410,000       1,293,836  

Zoetis, Inc.
5.400% due 11/14/25

    2,075,000       2,111,133  
   

 

 

 
    131,677,799  
   

 

 

 

Energy - 3.0%

   

Aker BP ASA (Norway)

   

2.000% due 07/15/26 ~

    970,000       873,247  

3.000% due 01/15/25 ~

    3,315,000       3,195,578  

Canadian Natural Resources Ltd. (Canada)
2.050% due 07/15/25

    3,845,000       3,594,769  

Cheniere Corpus Christi Holdings LLC
5.875% due 03/31/25

    3,835,000       3,864,193  

Devon Energy Corp.
8.250% due 08/01/23

    1,005,000       1,009,335  

Enbridge, Inc. (Canada)

   

2.150% due 02/16/24

    2,350,000       2,281,885  

2.500% due 01/15/25

    3,255,000       3,120,323  

2.500% due 02/14/25

    1,580,000       1,513,891  

Energy Transfer LP

   

2.900% due 05/15/25

    640,000       610,240  

4.200% due 09/15/23

    510,000       508,210  

4.250% due 04/01/24

    135,000       133,311  

4.900% due 02/01/24

    1,835,000       1,824,297  

5.875% due 01/15/24

    4,465,000       4,464,419  

Eni SpA (Italy)
4.000% due 09/12/23 ~

    3,395,000       3,367,733  

Gray Oak Pipeline LLC

   

2.000% due 09/15/23 ~

    455,000       447,423  

2.600% due 10/15/25 ~

    1,060,000       983,327  

Pioneer Natural Resources Co.

   

0.550% due 05/15/23

    1,280,000       1,272,916  

5.100% due 03/29/26

    1,505,000       1,512,042  

Sabine Pass Liquefaction LLC

   

5.625% due 03/01/25

    2,935,000       2,954,814  

5.750% due 05/15/24

    2,633,000       2,639,961  

Schlumberger Finance Canada Ltd.
1.400% due 09/17/25

    680,000       628,905  

Targa Resources Corp.
5.200% due 07/01/27

    1,448,000       1,436,913  

TransCanada PipeLines Ltd. (Canada)
6.203% due 03/09/26

    4,375,000       4,406,705  

Williams Cos., Inc.

   

4.300% due 03/04/24

    565,000       559,353  

5.400% due 03/02/26

    1,465,000       1,493,374  
   

 

 

 
    48,697,164  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

69

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Financial - 17.6%

 

AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)

   

1.650% due 10/29/24

    $5,325,000       $4,984,764  

4.500% due 09/15/23

    2,095,000       2,075,456  

4.875% due 01/16/24

    2,405,000       2,378,668  

American Express Co.

   

2.250% due 03/04/25

    4,055,000       3,865,085  

4.900% due 02/13/26

    1,400,000       1,414,023  

American International Group, Inc.
2.500% due 06/30/25

    2,210,000       2,091,979  

American Tower Corp.
2.400% due 03/15/25

    1,730,000       1,644,169  

Athene Global Funding

   

1.716% due 01/07/25 ~

    4,235,000       3,939,606  

2.514% due 03/08/24 ~

    5,235,000       5,052,616  

Avolon Holdings Funding Ltd. (Ireland)

   

2.125% due 02/21/26 ~

    2,935,000       2,611,558  

2.875% due 02/15/25 ~

    2,400,000       2,253,805  

3.950% due 07/01/24 ~

    810,000       788,627  

5.125% due 10/01/23 ~

    1,890,000       1,873,149  

Banco Bilbao Vizcaya Argentaria SA (Spain)
0.875% due 09/18/23

    4,200,000       4,105,425  

Banco del Estado de Chile (Chile)
2.704% due 01/09/25 ~

    1,010,000       960,535  

Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand (Mexico)
5.375% due 04/17/25 ~

    3,955,000       3,936,214  

Banco Santander SA (Spain)

   

0.701% due 06/30/24

    600,000       591,330  

3.496% due 03/24/25

    2,600,000       2,502,950  

Bank of America Corp.

   

0.976% due 04/22/25

    3,175,000       3,026,375  

1.734% due 07/22/27

    2,350,000       2,109,197  

1.843% due 02/04/25

    2,080,000       2,018,825  

3.384% due 04/02/26

    2,705,000       2,595,384  

3.841% due 04/25/25

    1,760,000       1,728,567  

5.080% due 01/20/27

    1,450,000       1,446,576  

Bank of Ireland Group PLC (Ireland)
4.500% due 11/25/23 ~

    5,470,000       5,401,783  

Bank of Montreal (Canada)

   

3.700% due 06/07/25

    3,475,000       3,377,576  

4.250% due 09/14/24

    1,715,000       1,694,710  

Bank of New York Mellon Corp.
4.414% due 07/24/26

    2,290,000       2,260,758  

Banque Federative du Credit Mutuel SA (France)

   

0.650% due 02/27/24 ~

    2,045,000       1,959,353  

0.998% due 02/04/25 ~

    2,850,000       2,637,522  

4.935% due 01/26/26 ~

    1,590,000       1,572,587  

Barclays PLC (United Kingdom)

   

1.007% due 12/10/24

    2,235,000       2,154,343  

4.338% due 05/16/24

    1,780,000       1,775,779  

5.304% due 08/09/26

    1,405,000       1,377,299  

7.325% due 11/02/26

    1,470,000       1,506,804  

BPCE SA (France)
5.700% due 10/22/23 ~

    5,665,000       5,622,613  

Brighthouse Financial Global Funding

   

0.600% due 06/28/23 ~

    1,780,000       1,758,635  

1.000% due 04/12/24 ~

    2,535,000       2,422,559  

Brixmor Operating Partnership LP
3.650% due 06/15/24

    3,295,000       3,192,504  

CaixaBank SA (Spain)
6.208% due 01/18/29 ~

    1,770,000       1,782,450  

Capital One Financial Corp.

   

2.636% due 03/03/26

    2,575,000       2,387,635  

3.500% due 06/15/23

    965,000       960,261  

3.900% due 01/29/24

    1,290,000       1,267,669  

4.250% due 04/30/25

    515,000       491,502  
   

Principal
Amount

   

Value

 

4.985% due 07/24/26

  $ 2,180,000     $ 2,103,199  

Charles Schwab Corp.
2.450% due 03/03/27

    3,705,000       3,324,712  

Citigroup, Inc.

   

0.981% due 05/01/25

    2,600,000       2,471,264  

3.106% due 04/08/26

    1,845,000       1,765,138  

4.140% due 05/24/25

    2,580,000       2,535,382  

CNO Global Funding

   

1.650% due 01/06/25 ~

    2,330,000       2,182,008  

1.750% due 10/07/26 ~

    2,970,000       2,664,803  

Commonwealth Bank of Australia (Australia)
5.316% due 03/13/26

    5,705,000       5,805,325  

Corebridge Financial, Inc.
3.500% due 04/04/25 ~

    1,970,000       1,893,936  

Credicorp Ltd. (Peru)
2.750% due 06/17/25 ~

    665,000       620,880  

Credit Suisse AG (Switzerland)
0.495% due 02/02/24

    1,930,000       1,822,017  

Crown Castle International Corp. REIT

   

1.050% due 07/15/26

    2,400,000       2,116,156  

2.900% due 03/15/27

    1,635,000       1,518,581  

3.150% due 07/15/23

    1,140,000       1,133,054  

Crown Castle, Inc.
5.000% due 01/11/28

    555,000       559,711  

Danske Bank AS (Denmark)

   

1.226% due 06/22/24 ~

    3,715,000       3,668,372  

3.773% due 03/28/25 ~

    1,735,000       1,694,187  

5.375% due 01/12/24 ~

    1,630,000       1,615,385  

Equitable Financial Life Global Funding
1.100% due 11/12/24 ~

    2,420,000       2,286,907  

Essex Portfolio LP REIT
3.875% due 05/01/24

    1,500,000       1,479,858  

Fifth Third Bank NA
5.852% due 10/27/25

    3,390,000       3,343,811  

First American Financial Corp.
4.600% due 11/15/24

    615,000       606,360  

Goldman Sachs Group, Inc.

   

0.657% due 09/10/24

    2,430,000       2,375,537  

0.925% due 10/21/24

    1,590,000       1,547,471  

1.757% due 01/24/25

    2,490,000       2,410,824  

3.500% due 04/01/25

    2,620,000       2,545,483  

4.482% due 08/23/28

    1,945,000       1,903,892  

HSBC Holdings PLC (United Kingdom)

   

1.162% due 11/22/24

    1,485,000       1,441,470  

1.645% due 04/18/26

    2,375,000       2,170,703  

2.099% due 06/04/26

    1,585,000       1,456,711  

Jackson Financial, Inc.
1.125% due 11/22/23

    2,155,000       2,091,097  

Jackson National Life Global Funding
1.750% due 01/12/25 ~

    2,835,000       2,656,777  

JPMorgan Chase & Co.

   

0.824% due 06/01/25

    2,830,000       2,683,245  

2.083% due 04/22/26

    4,500,000       4,213,133  

4.080% due 04/26/26

    2,570,000       2,524,688  

5.506% (SOFR + 0.885%) due 04/22/27 §

    1,950,000       1,924,856  

LeasePlan Corp. NV (Netherlands)
2.875% due 10/24/24 ~

    2,985,000       2,837,669  

Lloyds Banking Group PLC (United Kingdom)
4.500% due 11/04/24

    1,625,000       1,575,912  

LSEGA Financing PLC (United Kingdom)

   

0.650% due 04/06/24 ~

    2,875,000       2,737,168  

2.000% due 04/06/28 ~

    920,000       790,408  

Marsh & McLennan Cos., Inc.

   

3.750% due 03/14/26

    435,000       425,843  

3.875% due 03/15/24

    1,815,000       1,789,919  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

0.953% due 07/19/25

    4,750,000       4,475,066  

5.063% due 09/12/25

    1,140,000       1,132,837  

5.719% due 02/20/26

    2,510,000       2,518,199  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

70

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Morgan Stanley

 

0.731% due 04/05/24

    $2,085,000       $2,084,398  

1.164% due 10/21/25

    2,150,000       2,009,155  

2.630% due 02/18/26

    2,470,000       2,346,115  

3.620% due 04/17/25

    2,660,000       2,612,610  

5.050% due 01/28/27

    670,000       668,658  

5.108% (SOFR + 0.455%)

due 01/25/24 §

    1,745,000       1,740,112  

NatWest Markets PLC (United Kingdom)

   

0.800% due 08/12/24 ~

    1,055,000       987,763  

2.375% due 05/21/23 ~

    2,970,000       2,954,479  

3.479% due 03/22/25 ~

    875,000       836,731  

Northern Trust Corp.
3.950% due 10/30/25

    1,405,000       1,346,356  

Northwestern Mutual Global Funding
4.350% due 09/15/27 ~

    2,040,000       2,022,992  

Park Aerospace Holdings Ltd. (Ireland)
5.500% due 02/15/24 ~

    505,000       500,509  

PNC Financial Services Group, Inc.

   

4.758% due 01/26/27

    1,280,000       1,265,117  

5.671% due 10/28/25

    2,170,000       2,172,694  

Principal Life Global Funding II
0.750% due 04/12/24 ~

    1,230,000       1,176,189  

Public Storage REIT
5.091% (SOFR + 0.470%)
due 04/23/24 §

    1,045,000       1,040,259  

QNB Finance Ltd. (Qatar)

   

2.625% due 05/12/25 ~

    4,330,000       4,123,840  

3.500% due 03/28/24 ~

    2,320,000       2,282,555  

Realty Income Corp.
5.050% due 01/13/26

    625,000       623,209  

Santander Holdings USA, Inc.
2.490% due 01/06/28

    1,730,000       1,497,748  

SBA Tower Trust REIT

   

1.631% due 05/15/51 ~

    1,045,000       916,524  

1.884% due 07/15/50 ~

    725,000       655,785  

2.836% due 01/15/50 ~

    2,045,000       1,938,706  

6.599% due 01/15/28 ~

    990,000       1,046,676  

Simon Property Group LP REIT

   

2.000% due 09/13/24

    1,099,000       1,050,135  

3.375% due 10/01/24

    2,250,000       2,198,306  

Societe Generale SA (France)
2.625% due 10/16/24 ~

    335,000       316,776  

Standard Chartered PLC (United Kingdom)

   

0.991% due 01/12/25 ~

    1,100,000       1,058,170  

1.822% due 11/23/25 ~

    1,325,000       1,233,667  

State Street Corp.
4.857% due 01/26/26

    1,090,000       1,083,233  

Svenska Handelsbanken AB (Sweden)

   

0.550% due 06/11/24 ~

    1,520,000       1,439,345  

1.418% due 06/11/27 ~

    2,165,000       1,922,289  

Swedbank AB (Sweden)
1.300% due 06/02/23 ~

    2,205,000       2,187,152  

Synchrony Financial
4.250% due 08/15/24

    4,015,000       3,797,623  

Toronto-Dominion Bank (Canada)
0.700% due 09/10/24

    2,920,000       2,746,816  

Truist Financial Corp.
5.202% (SOFR + 0.400%)
due 06/09/25 §

    1,495,000       1,432,007  

UBS Group AG (Switzerland)

   

1.008% due 07/30/24 ~

    3,455,000       3,386,813  

1.494% due 08/10/27 ~

    1,025,000       883,720  

4.488% due 05/12/26 ~

    810,000       781,852  

4.490% due 08/05/25 ~

    2,225,000       2,171,895  

US Bancorp

   

4.548% due 07/22/28

    2,510,000       2,447,909  

5.727% due 10/21/26

    1,215,000       1,221,393  

Wells Fargo & Co.

   

1.654% due 06/02/24

    1,780,000       1,768,675  

2.188% due 04/30/26

    1,825,000       1,711,595  

3.526% due 03/24/28

    1,495,000       1,411,835  

3.908% due 04/25/26

    2,260,000       2,195,257  

4.540% due 08/15/26

    2,065,000       2,028,851  
   

Principal
Amount

   

Value

 

Western Union Co.
2.850% due 01/10/25

    $ 4,945,000       $ 4,722,545  
   

 

 

 
    287,086,218  
   

 

 

 

Industrial - 1.9%

   

Amcor Flexibles North America, Inc.
4.000% due 05/17/25

    1,820,000       1,783,378  

Amphenol Corp.

   

2.050% due 03/01/25

    2,380,000       2,267,534  

4.750% due 03/30/26

    875,000       879,038  

Canadian Pacific Railway Co. (Canada)

   

1.350% due 12/02/24

    3,510,000       3,308,496  

1.750% due 12/02/26

    1,100,000       997,730  

Carrier Global Corp.
2.242% due 02/15/25

    649,000       619,588  

DAE Funding LLC (United Arab Emirates)
1.550% due 08/01/24 ~

    990,000       931,624  

GATX Corp.

   

3.250% due 03/30/25

    2,258,000       2,162,830  

4.350% due 02/15/24

    1,905,000       1,882,089  

Kansas City Southern
3.000% due 05/15/23

    1,940,000       1,932,875  

Martin Marietta Materials, Inc.
0.650% due 07/15/23

    855,000       842,683  

Otis Worldwide Corp.
2.056% due 04/05/25

    2,670,000       2,521,481  

Parker-Hannifin Corp.
3.650% due 06/15/24

    2,800,000       2,758,794  

Penske Truck Leasing Co. Lp/PTL Finance Corp.
3.450% due 07/01/24 ~

    1,553,000       1,512,493  

Regal Rexnord Corp.
6.050% due 02/15/26 ~

    1,605,000       1,613,700  

Republic Services, Inc.

   

2.500% due 08/15/24

    1,725,000       1,671,615  

4.875% due 04/01/29

    715,000       723,213  

SMBC Aviation Capital Finance DAC (Ireland)

   

3.550% due 04/15/24 ~

    1,645,000       1,605,761  

4.125% due 07/15/23 ~

    766,000       761,007  
   

 

 

 
    30,775,929  
   

 

 

 

Technology - 2.2%

   

CDW LLC/CDW Finance Corp.
5.500% due 12/01/24

    655,000       654,892  

Fidelity National Information Services, Inc.

   

0.600% due 03/01/24

    1,225,000       1,171,852  

4.500% due 07/15/25

    1,355,000       1,340,681  

Fiserv, Inc.

   

2.750% due 07/01/24

    4,595,000       4,459,703  

3.800% due 10/01/23

    1,070,000       1,060,214  

Fortinet, Inc.
1.000% due 03/15/26

    1,890,000       1,697,405  

Intel Corp.
4.875% due 02/10/26

    1,660,000       1,681,869  

Marvell Technology, Inc.
4.200% due 06/22/23

    2,070,000       2,061,320  

Microchip Technology, Inc.

   

0.972% due 02/15/24

    2,770,000       2,659,946  

0.983% due 09/01/24

    2,900,000       2,738,474  

2.670% due 09/01/23

    2,125,000       2,095,483  

NXP BV/NXP Funding LLC/NXP USA, Inc. (China)

   

2.700% due 05/01/25

    2,030,000       1,927,675  

3.875% due 06/18/26

    1,455,000       1,405,961  

4.400% due 06/01/27

    355,000       350,895  

4.875% due 03/01/24

    1,605,000       1,593,486  

Oracle Corp.
5.800% due 11/10/25

    1,425,000       1,461,233  

Qorvo, Inc.
1.750% due 12/15/24 ~

    1,160,000       1,078,023  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

71

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Roper Technologies, Inc.

   

1.000% due 09/15/25

    $ 510,000       $ 466,625  

2.350% due 09/15/24

    670,000       645,289  

Skyworks Solutions, Inc.
0.900% due 06/01/23

    650,000       644,571  

Take-Two Interactive Software, Inc.

   

3.300% due 03/28/24

    2,090,000       2,044,855  

3.550% due 04/14/25

    535,000       521,316  

VMware, Inc.
0.600% due 08/15/23

    1,375,000       1,349,285  

Workday, Inc.
3.500% due 04/01/27

    1,230,000       1,177,649  
   

 

 

 
    36,288,702  
   

 

 

 

Utilities - 3.0%

   

AES Corp.
3.300% due 07/15/25 ~

    1,865,000       1,770,648  

Alexander Funding Trust
1.841% due 11/15/23 ~

    1,885,000       1,828,999  

APA Infrastructure Ltd. (Australia)
4.200% due 03/23/25 ~

    5,205,000       5,101,301  

Constellation Energy Generation LLC
5.600% due 03/01/28

    1,350,000       1,390,555  

DTE Energy Co.
4.220% due 11/01/24

    2,460,000       2,433,864  

Enel Finance International NV (Italy)

   

1.375% due 07/12/26 ~

    3,230,000       2,878,677  

2.650% due 09/10/24 ~

    4,020,000       3,882,373  

6.800% due 10/14/25 ~

    500,000       517,197  

Israel Electric Corp. Ltd. (Israel)

   

5.000% due 11/12/24 ~

    3,600,000       3,556,839  

6.875% due 06/21/23 ~

    565,000       565,927  

NextEra Energy Capital Holdings, Inc.

   

1.875% due 01/15/27

    2,360,000       2,135,553  

4.450% due 06/20/25

    1,695,000       1,684,587  

6.051% due 03/01/25

    770,000       783,722  

NiSource, Inc.
5.250% due 03/30/28

    535,000       544,647  

NRG Energy, Inc.
3.750% due 06/15/24 ~

    1,125,000       1,091,882  

Pacific Gas and Electric Co.
3.500% due 06/15/25

    2,010,000       1,917,906  

Sempra Energy
3.300% due 04/01/25

    1,775,000       1,719,019  

Southern California Gas Co.
2.950% due 04/15/27

    1,395,000       1,307,977  

Southern Co.
3.250% due 07/01/26

    1,420,000       1,355,113  

Tenaga Nasional Bhd (Malaysia)
7.500% due 11/01/25 ~

    1,200,000       1,262,263  

Vistra Operations Co. LLC

   

3.550% due 07/15/24 ~

    9,955,000       9,616,584  

5.125% due 05/13/25 ~

    2,485,000       2,424,628  
   

 

 

 
    49,770,261  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $753,413,493)

 

    732,129,534  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 13.3%

 

Collateralized Mortgage Obligations - Commercial - 4.0%

 

280 Park Avenue Mortgage Trust
5.599% (USD LIBOR + 0.880%) due 09/15/34 § ~

    1,640,000       1,593,262  

BAMLL Commercial Mortgage Securities Trust

   

3.490% due 04/14/33 ~

    1,775,000       1,625,408  

5.535% (USD LIBOR + 0.850%)

due 09/15/34 § ~

    4,770,000       4,665,791  

6.684% (USD LIBOR + 2.000%)

due 09/15/38 § ~

    1,570,000       1,422,426  
   

Principal
Amount

   

Value

 

Bank

   

2.056% due 11/15/62

    $252,068       $245,674  

2.263% due 08/15/61

    395,571       374,274  

BCP Trust
5.483% (USD LIBOR + 0.799%)
due 06/15/38 § ~

    1,045,000       964,883  

BIG Commercial Mortgage Trust
7.168% (SOFR + 2.340%)
due 02/15/39 § ~

    755,000       713,335  

BPR Trust
5.834% (USD LIBOR + 1.150%)
due 09/15/38 § ~

    1,585,000       1,488,502  

BSREP Commercial Mortgage Trust
6.585% (USD LIBOR + 1.900%)
due 08/15/38 § ~

    700,000       598,435  

BX Commercial Mortgage Trust

   

5.964% (USD LIBOR + 1.280%)
due 06/15/36 § ~

    935,000       887,745  

6.022% (SOFR + 1.194%)

due 10/15/36 § ~

    1,249,500       1,227,342  

6.085% (USD LIBOR + 1.400%)
due 06/15/38 § ~

    1,372,871       1,290,840  

7.968% (SOFR + 3.141%)
due 06/15/27 § ~

    1,815,000       1,779,706  

CGDB Commercial Mortgage Trust
6.334% (USD LIBOR + 1.650%)
due 11/15/36 § ~

    2,615,000       2,453,349  

Cold Storage Trust
5.984% (USD LIBOR + 1.300%)
due 11/15/37 § ~

    1,484,316       1,441,756  

Commercial Mortgage Trust

   

3.838% due 09/10/47

    2,825,000       2,735,505  

3.926% due 03/10/48 §

    845,000       793,567  

4.070% due 03/10/48 §

    1,770,000       1,607,642  

4.080% due 08/10/47

    1,760,000       1,693,725  

4.353% due 08/10/30 ~

    1,180,000       1,136,930  

4.622% due 02/10/47 §

    1,715,000       1,665,483  

4.698% due 08/10/47 § ~

    710,000       614,848  

Credit Suisse Mortgage Capital Certificates

   

6.114% (USD LIBOR + 1.430%)
due 05/15/36 § ~

    2,134,689       2,098,562  

6.284% (USD LIBOR + 1.600%)
due 05/15/36 § ~

    1,571,091       1,536,790  

CSAIL Commercial Mortgage Trust
2.360% due 06/15/52

    391,596       381,343  

Extended Stay America Trust

   

5.765% (USD LIBOR + 1.080%)
due 07/15/38 § ~

    751,668       729,709  

6.385% (USD LIBOR + 1.700%)
due 07/15/38 § ~

    1,679,051       1,629,310  

Fontainebleau Miami Beach Trust
3.447% due 12/10/36 ~

    1,715,000       1,615,421  

GCT Commercial Mortgage Trust
5.484% (USD LIBOR + 0.800%)
due 02/15/38 § ~

    1,325,000       1,216,920  

Great Wolf Trust
6.575% (SOFR + 1.747%)
due 12/15/36 § ~

    1,055,000       1,025,845  

GS Mortgage Securities Corp. Trust
6.285% (USD LIBOR + 1.600%)
due 05/15/26 § ~

    1,440,000       1,270,371  

JP Morgan Chase Commercial Mortgage Securities Trust

   

6.455% (USD LIBOR + 1.770%)
due 10/15/33 § ~

    2,345,000       2,062,975  

6.534% (USD LIBOR + 1.850%)
due 09/15/29 § ~

    1,025,000       907,648  

6.855% (USD LIBOR + 2.170%)
due 10/15/33 § ~

    1,890,000       1,581,993  

JPMBB Commercial Mortgage Securities Trust
3.934% due 09/15/47

    2,420,000       2,354,649  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

72

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

KIND Trust
6.692% (SOFR + 1.864%)
due 08/15/38 § ~

    $2,050,183       $1,910,379  

KKR Industrial Portfolio Trust

   

5.942% (SOFR + 1.114%)
due 12/15/37 § ~

    660,000       630,897  

6.192% (SOFR + 1.364%)
due 12/15/37 § ~

    476,250       450,922  

Morgan Stanley Bank of America Merrill Lynch Trust
4.110% due 10/15/47 §

    775,000       744,527  

Morgan Stanley Capital I Trust
6.484% (USD LIBOR + 1.800%)
due 12/15/36 § ~

    775,000       610,932  

New Orleans Hotel Trust
5.973% (USD LIBOR + 1.289%)
due 04/15/32 § ~

    2,575,999       2,449,471  

ONE Mortgage Trust

   

5.892% (SOFR + 1.064%)
due 03/15/36 § ~

    2,945,000       2,711,108  

6.042% (SOFR + 1.214%)
due 03/15/36 § ~

    1,580,000       1,450,632  

RLGH Trust
5.485% (USD LIBOR + 0.800%)
due 04/15/36 § ~

    1,370,000       1,322,568  

WFRBS Commercial Mortgage Trust
4.045% due 03/15/47

    1,465,000       1,438,479  
   

 

 

 
    65,151,879  
   

 

 

 

Collateralized Mortgage Obligations - Residential - 5.9%

 

 

Angel Oak Mortgage Trust

   

0.909% due 01/25/66 § ~

    1,237,851       1,037,036  

0.985% due 04/25/66 § ~

    977,178       821,854  

1.068% due 05/25/66 § ~

    792,649       655,829  

1.579% due 05/25/65 § ~

    310,092       281,424  

2.872% due 04/25/65 § ~

    215,124       199,234  

Angel Oak Mortgage Trust I LLC
3.920% due 11/25/48 § ~

    3,348       3,338  

Barclays Mortgage Loan Trust
1.747% due 09/25/51 § ~

    1,953,324       1,698,124  

Bayview MSR Opportunity Master Fund Trust (Cayman)
2.500% due 06/25/51 § ~

    1,650,758       1,439,371  

BINOM Securitization Trust
2.625% due 06/25/56 § ~

    653,821       572,754  

BRAVO Residential Funding Trust
1.699% due 04/25/60 § ~

    1,071,643       967,500  

CIM Trust
2.500% due 04/25/50 § ~

    1,307,565       1,080,711  

CIM TRUST
4.500% due 03/25/62 § ~

    2,776,378       2,670,127  

COLT Mortgage Loan Trust

   

1.167% due 06/25/66 § ~

    965,601       785,199  

1.506% due 04/27/65 § ~

    140,959       131,108  

Connecticut Avenue Securities Trust

   

5.560% (SOFR + 1.000%)
due 12/25/41 § ~

    970,895       959,966  

6.560% (SOFR + 2.000%)
due 03/25/42 § ~

    968,526       969,591  

6.660% (SOFR + 2.100%)
due 03/25/42 § ~

    1,474,211       1,472,167  

7.110% (SOFR + 2.550%)
due 07/25/42 § ~

    656,550       661,153  

7.518% (SOFR + 2.950%)
due 06/25/42 § ~

    1,559,128       1,588,231  

Deephaven Residential Mortgage Trust

   

0.899% due 04/25/66 § ~

    401,461       345,162  

0.973% due 05/25/65 § ~

    230,919       207,365  

1.260% due 04/25/66 § ~

    439,437       376,194  
   

Principal
Amount

   

Value

 

Eagle RE Ltd. (Bermuda)
6.110% (SOFR + 1.550%)
due 04/25/34 § ~

    $722,146       $720,264  

Ellington Financial Mortgage Trust

   

0.797% due 02/25/66 § ~

    277,359       232,761  

0.931% due 06/25/66 § ~

    590,670       477,579  

1.106% due 02/25/66 § ~

    238,245       196,738  

1.291% due 06/25/66 § ~

    569,135       455,450  

1.550% due 09/25/66 § ~

    565,574       426,757  

3.046% due 11/25/59 § ~

    206,368       191,606  

Fannie Mae
3.000% due 11/25/47

    1,897,222       1,770,713  

Fannie Mae Connecticut Avenue Securities

   

6.045% (USD LIBOR + 1.200%)
due 01/25/30 §

    36,748       36,739  

9.295% (USD LIBOR + 4.450%)
due 01/25/29 §

    623,077       651,475  

Federal Home Loan Mortgage Corp. STACR REMIC Trust
6.860% (SOFR + 2.300%)
due 08/25/42 § ~

    931,203       934,110  

Flagstar Mortgage Trust

   

4.000% due 09/25/48 § ~

    185,826       179,951  

5.467% (USD LIBOR + 0.850%)

due 03/25/50 § ~

    400,103       368,195  

Freddie Mac

   

5.860% (SOFR + 1.300%)
due 02/25/42 § ~

    4,110,535       4,071,159  

6.710% (SOFR + 2.150%)
due 09/25/42 § ~

    616,793       618,636  

7.510% (SOFR + 2.950%)
due 06/25/42 § ~

    1,186,072       1,207,043  

Freddie Mac STACR Trust

   

5.260% (SOFR + 0.700%)
due 08/25/33 § ~

    13,255       13,252  

6.210% (SOFR + 1.650%)
due 01/25/34 § ~

    720,434       707,368  

6.360% (SOFR + 1.800%)
due 11/25/41 § ~

    1,160,000       1,103,702  

6.560% (SOFR + 2.000%)
due 04/25/42 § ~

    4,104,989       4,106,800  

6.660% (SOFR + 2.100%)
due 03/25/42 § ~

    1,918,450       1,919,102  

6.695% (USD LIBOR + 1.850%)
due 02/25/50 § ~

    1,154,423       1,147,871  

6.760% (SOFR + 2.200%)
due 05/25/42 § ~

    2,222,860       2,233,961  

7.000% due 09/15/30

    93,845       97,241  

7.945% (USD LIBOR + 3.100%)
due 03/25/50 § ~

    624,103       639,951  

Freddie Mac Structured Agency Credit Risk Debt Notes

   

3.863% due 05/25/47 § ~

    175,394       170,628  

5.360% (SOFR + 0.800%)
due 08/25/33 § ~

    44,309       44,257  

Galton Funding Mortgage Trust

   

2.832% due 01/25/60 § ~

    1,085,000       807,327  

3.339% due 10/25/59 § ~

    680,000       614,821  

3.500% due 11/25/57 § ~

    225,469       205,279  

4.000% due 02/25/59 § ~

    100,984       95,823  

4.500% due 02/25/59 § ~

    138,165       133,773  

GS Mortgage-Backed Securities Corp. Trust
2.500% due 10/25/51 § ~

    2,562,228       2,222,482  

GS Mortgage-Backed Securities Trust

   

2.500% due 06/25/52 § ~

    3,239,697       2,810,120  

3.207% due 07/25/44 § ~

    16,926       16,659  

Hundred Acre Wood Trust
2.500% due 07/25/51 § ~

    1,662,641       1,456,083  

Imperial Fund Mortgage Trust

   

1.516% due 09/25/56 § ~

    935,629       734,067  

4.767% due 06/25/67 § ~

    1,499,401       1,441,612  

JP Morgan Mortgage Trust

 

3.000% due 10/25/50 § ~

    445,039       384,125  

3.500% due 08/25/50 § ~

    290,457       260,389  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

73

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Mello Mortgage Capital Acceptance
2.500% due 10/25/51 § ~

    $ 1,410,746       $ 1,223,684  

MFA Trust
0.852% due 01/25/56 § ~

    532,900       472,506  

New Residential Mortgage Loan Trust

   

2.500% due 06/25/51 § ~

    1,092,461       950,323  

2.500% due 09/25/51 § ~

    2,953,416       2,569,154  

NLT Trust
1.520% due 08/25/56 § ~

    812,942       647,227  

OBX Trust

   

1.054% due 07/25/61 § ~

    380,150       290,946  

2.500% due 05/25/51 § ~

    1,891,568       1,640,750  

3.000% due 01/25/60 § ~

    541,655       469,504  

3.000% due 05/25/60 § ~

    1,056,894       912,963  

3.500% due 12/25/49 § ~

    167,741       149,878  

3.500% due 02/25/60 § ~

    599,301       535,402  

5.456% (USD LIBOR + 1.200%)
due 06/25/59 § ~

    126,849       121,174  

5.595% (USD LIBOR + 0.750%)
due 02/25/60 § ~

    331,871       307,697  

5.745% (USD LIBOR + 0.900%)
due 10/25/59 § ~

    106,961       103,762  

5.795% (USD LIBOR + 0.950%)
due 02/25/60 § ~

    542,676       506,499  

Oceanview Mortgage Trust
2.500% due 12/25/51 § ~

    1,521,659       1,319,890  

PSMC Trust

   

2.500% due 03/25/51 § ~

    2,697,685       2,365,271  

2.500% due 05/25/51 § ~

    1,199,611       1,043,532  

Sequoia Mortgage Trust

   

4.000% due 06/25/48 § ~

    236,507       222,626  

4.000% due 08/25/48 § ~

    66,416       64,605  

4.000% due 10/25/48 § ~

    5,920       5,862  

4.500% due 08/25/48 § ~

    16,395       16,012  

SG Residential Mortgage Trust

   

1.381% due 05/25/65 § ~

    397,354       344,530  

3.166% due 03/27/62 § ~

    1,964,388       1,773,180  

Starwood Mortgage Residential Trust

   

0.943% due 05/25/65 § ~

    883,966       792,678  

1.162% due 08/25/56 § ~

    2,320,723       1,926,880  

2.408% due 02/25/50 § ~

    722,245       688,623  

2.916% due 09/27/49 § ~

    665,197       633,699  

Towd Point Mortgage Trust

   

3.250% due 07/25/58 § ~

    729,245       702,932  

3.750% due 03/25/58 § ~

    839,845       800,517  

3.750% due 05/25/58 § ~

    1,568,816       1,503,624  

3.750% due 09/25/62 ~

    2,866,795       2,692,813  

TRK Trust
1.409% due 07/25/56 § ~

    433,600       371,042  

UWM Mortgage Trust
2.500% due 09/25/51 § ~

    541,907       470,052  

Verus Securitization Trust

   

0.918% due 02/25/64 § ~

    708,408       609,060  

1.031% due 02/25/66 § ~

    655,598       559,058  

1.052% due 01/25/66 § ~

    521,915       433,085  

1.155% due 01/25/66 § ~

    310,759       254,605  

1.373% due 09/25/66 § ~

    785,042       618,667  

1.829% due 10/25/66 § ~

    2,921,762       2,488,271  

1.977% due 03/25/60 § ~

    61,732       60,286  

2.226% due 05/25/60 § ~

    445,149       429,093  

2.913% due 07/25/59 § ~

    388,274       376,205  

3.117% due 07/25/59 § ~

    517,100       501,031  

3.288% due 01/25/67 § ~

    3,148,438       2,661,406  

Vista Point Securitization Trust
2.496% due 04/25/65 § ~

    225,974       199,972  

Wells Fargo Mortgage-Backed Securities Trust

   

2.500% due 12/25/50 § ~

    2,230,332       1,955,694  

2.500% due 09/25/51 § ~

    1,723,460       1,494,932  
   

 

 

 
    96,110,509  
   

 

 

 
   

Principal
Amount

   

Value

 

Fannie Mae - 1.7%

 

2.000% due 10/01/50

    $ 676,114       $ 562,275  

2.500% due 01/01/52

    1,579,327       1,365,088  

3.000% due 09/01/28 - 06/01/52

    5,468,292       5,038,473  

3.096% (UST + 2.258%)
due 06/01/35 §

    65,649       64,548  

3.500% due 01/01/44 - 01/01/52

    1,548,161       1,459,855  

3.851% (UST + 2.259%) due 06/01/33 §

    236,841       242,841  

3.983% (USD LIBOR + 1.502%)
due 02/01/33 §

    18,343       17,964  

4.000% due 03/01/41 - 09/01/52

    3,272,306       3,137,752  

4.230% (USD LIBOR + 1.605%)

due 04/01/33 §

    17,362       16,989  

4.398% (UST + 2.215%)

due 02/01/33 §

    35,745       34,918  

4.500% due 05/01/41 - 08/01/52

    8,415,277       8,293,603  

4.912% (USD LIBOR + 1.543%)

due 01/01/35 §

    2,248       2,268  

5.000% due 07/01/24 - 02/01/49

    1,350,083       1,378,354  

5.500% due 01/01/36 - 02/01/49

    2,623,410       2,724,523  

6.000% due 03/01/37 - 02/01/49

    2,567,821       2,695,450  

6.500% due 05/01/33

    251,364       262,022  

7.000% due 06/01/33

    123,923       127,374  
   

 

 

 
    27,424,297  
   

 

 

 

Freddie Mac - 0.5%

   

2.500% due 01/01/52

    1,630,930       1,417,137  

3.500% due 02/01/52

    2,668,150       2,492,101  

3.900% (UST + 2.250%) due 08/01/35 §

    145,825       148,610  

4.000% due 12/01/49 - 09/01/52

    1,231,416       1,182,352  

4.076% (UST + 1.951%) due 02/01/35 §

    54,278       52,921  

4.269% (UST + 2.179%) due 09/01/35 §

    87,618       87,591  

4.500% due 09/01/37 - 05/01/50

    782,157       779,878  

5.000% due 12/01/41 - 03/01/50

    2,109,674       2,136,853  

5.500% due 07/01/38 - 06/01/41

    262,375       272,938  

7.000% due 03/01/39

    170,620       179,261  

7.500% due 06/01/38

    154,789       161,928  
   

 

 

 
    8,911,570  
   

 

 

 

Government National Mortgage Association - 1.2%

 

 

2.625% (UST + 1.500%)

due 09/20/34 - 01/20/35 §

    694,390       685,890  

3.000% due 09/20/47

    3,607,070       3,330,105  

3.500% due 10/20/52 - 12/20/52

    4,551,295       4,270,325  

4.000% due 10/20/50 - 10/20/52

    3,008,759       2,904,634  

4.500% due 08/20/47 - 10/20/52

    3,991,293       3,938,557  

5.000% due 12/20/34 - 05/20/48

    1,352,887       1,382,535  

5.500% due 09/15/45 - 02/20/49

    1,210,977       1,261,444  

due 04/20/53 #

    1,975,000       1,997,489  

6.000% due 07/15/36

    172,994       182,242  
   

 

 

 
    19,953,221  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $234,866,368)

 

    217,551,476  
   

 

 

 

ASSET-BACKED SECURITIES - 12.1%

   

AmeriCredit Automobile Receivables Trust

   

0.890% due 10/19/26

    1,665,000       1,552,837  

0.970% due 02/18/26

    743,490       732,085  

1.060% due 08/18/26

    980,000       919,764  

1.210% due 12/18/26

    1,030,000       938,254  

1.290% due 06/18/27

    2,095,000       1,889,720  

1.590% due 10/20/25

    1,215,000       1,184,514  

1.800% due 12/18/25

    1,175,000       1,121,112  

2.770% due 04/19/27

    4,310,000       4,097,795  

4.810% due 04/18/28

    4,195,000       4,173,536  

5.800% due 12/18/28

    1,150,000       1,172,453  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

74

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Amur Equipment Finance Receivables X LLC
1.640% due 10/20/27 ~

    $ 673,762       $ 645,303  

ARI Fleet Lease Trust
5.410% due 02/17/32 ~

    4,110,000       4,109,878  

Avis Budget Rental Car Funding AESOP LLC

   

2.330% due 08/20/26 ~

    930,000       874,191  

3.350% due 09/22/25 ~

    1,355,000       1,318,958  

4.950% due 03/20/25 ~

    745,000       729,941  

Blackbird Capital Aircraft Lease Securitization Ltd.
2.487% due 12/16/41 § ~

    612,091       586,416  

BRE Grand Islander Timeshare Issuer LLC
3.280% due 09/26/33 ~

    287,443       274,025  

CarMax Auto Owner Trust

   

1.090% due 03/16/26

    2,730,000       2,588,441  

3.010% due 12/16/24

    3,280,000       3,265,895  

CBAM Ltd. (Cayman)
6.072% (USD LIBOR + 1.280%)
due 02/12/30 § ~

    5,239,416       5,215,920  

Cedar Funding XIV CLO Ltd. (Cayman)
5.892% (USD LIBOR + 1.100%)
due 07/15/33 § ~

    2,230,000       2,201,904  

CIFC Funding Ltd. (Cayman)
5.866% (USD LIBOR + 1.050%)
due 04/24/30 § ~

    3,721,371       3,692,732  

CNH Equipment Trust

   

1.510% due 04/15/27

    1,125,000       1,090,707  

2.010% due 12/16/24

    385,200       383,063  

Drive Auto Receivables Trust
1.390% due 03/15/29

    1,070,000       996,818  

Dryden 86 CLO Ltd. (Cayman)
5.892% (USD LIBOR + 1.100%)
due 07/17/34 § ~

    2,225,000       2,162,190  

Elara HGV Timeshare Issuer LLC

   

2.690% due 03/25/30 ~

    231,828       223,525  

2.730% due 04/25/28 ~

    422,021       421,098  

Exeter Automobile Receivables Trust

   

2.560% due 06/15/28

    405,000       389,233  

3.020% due 06/15/28

    995,000       921,720  

3.850% due 07/17/28

    2,130,000       2,070,120  

5.700% due 08/17/26

    305,000       305,258  

5.980% due 12/15/28

    945,000       935,728  

6.320% due 05/15/28

    715,000       728,137  

6.510% due 12/15/27

    2,940,000       2,989,079  

6.690% due 06/15/29

    245,000       247,421  

Finance of America HECM Buyout

   

4.000% due 08/01/32 § ~

    2,718,355       2,637,788  

FirstKey Homes Trust

   

1.339% due 08/17/37 ~

    2,941,434       2,693,864  

1.968% due 10/19/37 ~

    2,580,000       2,319,104  

2.241% due 08/17/37 ~

    3,355,000       3,056,613  

Ford Credit Auto Lease Trust

   

4.180% due 10/15/25

    3,385,000       3,317,942  

5.540% due 12/15/26

    1,060,000       1,048,747  

Ford Credit Auto Owner Trust

   

1.740% due 04/15/33 ~

    1,355,000       1,231,937  

3.520% due 07/15/30 ~

    4,155,000       4,096,254  

5.070% due 01/15/29

    3,820,000       3,814,174  

Ford Credit Floorplan Master Owner Trust Class C
1.420% due 09/15/25

    1,885,000       1,842,210  

GM Financial Automobile Leasing Trust

   

5.130% due 08/20/26

    2,425,000       2,409,741  

5.760% due 01/20/27

    2,920,000       2,923,299  

GM Financial Consumer Automobile Receivables Trust

   

1.050% due 05/18/26

    1,005,000       940,631  

1.490% due 12/16/24

    115,004       114,008  

5.030% due 09/18/28

    520,000       521,376  
   

Principal
Amount

   

Value

 

GMF Floorplan Owner Revolving Trust
1.030% due 08/15/25 ~

    $ 830,000       $ 815,209  

Hilton Grand Vacations Trust

   

2.660% due 12/26/28 ~

    183,002       181,309  

2.740% due 02/25/39 ~

    691,185       652,217  

2.960% due 12/26/28 ~

    51,009       50,323  

HPEFS Equipment Trust

   

5.910% due 04/20/28

    1,495,000       1,495,300  

6.130% due 08/20/29

    3,555,000       3,596,758  

Hyundai Auto Receivables Trust

   

1.410% due 11/15/24

    357,037       353,631  

1.600% due 12/15/26

    1,360,000       1,293,833  

2.940% due 05/15/25

    159,707       159,545  

KKR CLO 29 Ltd. (Cayman)
5.992% (USD LIBOR + 1.200%)
due 01/15/32 § ~

    2,500,000       2,479,811  

Kubota Credit Owner Trust
1.960% due 03/15/24 ~

    136,024       135,585  

Madison Park Funding XXIII Ltd. (Cayman)

   

5.785% (USD LIBOR + 0.970%)
due 07/27/31 § ~

    2,580,346       2,557,380  

6.365% (USD LIBOR + 1.550%)
due 07/27/31 § ~

    1,675,000       1,650,311  

Madison Park Funding XXXIII Ltd. (Cayman)
5.948% (SOFR + 1.290%) due 10/15/32 § ~

    3,565,000       3,502,587  

Magnetite XXV Ltd. (Cayman)
6.018% (USD LIBOR + 1.200%)
due 01/25/32 § ~

    670,000       661,655  

MMAF Equipment Finance LLC
5.610% due 07/10/28 ~

    4,025,000       4,096,106  

MVW LLC
2.730% due 10/20/37 ~

    261,051       241,987  

MVW Owner Trust

   

2.420% due 12/20/34 ~

    106,095       104,521  

2.750% due 12/20/34 ~

    36,130       35,312  

2.890% due 11/20/36 ~

    795,848       754,405  

2.990% due 12/20/34 ~

    97,493       93,555  

Navient Private Education Refi Loan Trust

   

1.170% due 09/16/69 ~

    498,080       445,719  

1.220% due 07/15/69 ~

    415,560       371,694  

1.310% due 01/15/69 ~

    243,027       223,124  

1.690% due 05/15/69 ~

    748,246       682,318  

2.150% due 11/15/68 ~

    3,826,316       3,478,418  

2.230% due 07/15/70 ~

    2,865,307       2,576,655  

2.400% due 10/15/68 ~

    586,926       546,695  

2.460% due 11/15/68 ~

    1,046,016       977,128  

2.640% due 05/15/68 ~

    1,134,478       1,070,614  

3.420% due 01/15/43 ~

    1,491,023       1,428,675  

Nelnet Student Loan Trust
1.320% due 04/20/62 ~

    973,741       876,020  

Neuberger Berman Loan Advisers CLO 26 Ltd. (Cayman)
6.195% (USD LIBOR + 1.400%)
due 10/18/30 § ~

    1,755,000       1,696,175  

Neuberger Berman Loan Advisers CLO 32 Ltd. (Cayman)
5.788% (USD LIBOR + 0.990%)
due 01/20/32 § ~

    3,755,000       3,686,577  

Neuberger Berman Loan Advisers CLO 40 Ltd. (Cayman)
5.852% (USD LIBOR + 1.060%)
due 04/16/33 § ~

    1,085,000       1,069,912  

Nissan Auto Receivables Owner Trust
1.380% due 12/16/24

    183,138       181,284  

OCP CLO Ltd. (Cayman)

   

5.928% (USD LIBOR + 1.120%)

due 07/20/29 § ~

    3,731,580       3,698,287  

6.342% (USD LIBOR + 1.550%)

due 07/15/30 § ~

    2,710,000       2,649,242  

Octane Receivables Trust

   

1.210% due 09/20/28 ~

    1,112,271       1,068,337  

4.900% due 05/22/28 ~

    1,290,000       1,262,547  

5.870% due 05/21/29 ~

    442,904       444,136  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

75

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Palmer Square CLO Ltd. (Cayman)
5.944% (USD LIBOR + 1.080%)
due 11/15/31 § ~

    $4,505,000       $4,450,086  

Progress Residential Trust

   

1.495% due 10/17/27 ~

    3,232,000       2,935,767  

2.078% due 06/17/37 ~

    459,432       429,880  

4.451% due 07/20/39 ~

    1,630,000       1,576,995  

Santander Bank Auto Credit-Linked Notes

   

5.916% due 08/16/32 ~

    690,467       687,835  

6.024% due 12/15/32 ~

    485,168       486,800  

6.451% due 12/15/32 ~

    2,086,847       2,087,745  

Santander Bank NA - SBCLN
1.833% due 12/15/31 ~

    243,454       233,784  

Santander Consumer Auto Receivables Trust
1.290% due 04/15/26 ~

    1,810,000       1,753,025  

Santander Drive Auto Receivables Trust

   

1.010% due 01/15/26

    604,380       599,532  

3.760% due 07/16/29

    3,340,000       3,224,904  

4.740% due 10/16/28

    990,000       971,226  

5.000% due 11/15/29

    4,085,000       4,021,162  

5.090% due 05/15/30

    905,000       895,492  

Santander Retail Auto Lease Trust

   

0.830% due 03/20/26 ~

    4,240,000       4,035,078  

1.110% due 03/20/26 ~

    1,290,000       1,221,234  

3.850% due 03/22/27 ~

    990,000       959,715  

Sierra Timeshare Receivables Funding LLC 3.510% due 07/20/37 ~

    335,337       317,549  

SMB Private Education Loan Trust

   

1.290% due 07/15/53 ~

    1,324,118       1,187,043  

1.310% due 07/17/51 ~

    2,184,126       1,945,575  

1.600% due 09/15/54 ~

    3,979,761       3,566,345  

5.404% (USD LIBOR + 0.720%)
due 01/15/37 § ~

    1,740,740       1,711,279  

6.184% (USD LIBOR + 1.500%)
due 04/15/32 § ~

    736,926       735,664  

Symphony CLO XXIII Ltd. (Cayman)
5.812% (USD LIBOR + 1.020%)
due 01/15/34 § ~

    3,645,000       3,597,716  

Symphony CLO XXVI Ltd. (Cayman)
5.888% (USD LIBOR + 1.080%)
due 04/20/33 § ~

    1,110,000       1,089,168  

Symphony Static CLO I Ltd. (Cayman)
6.268% (USD LIBOR + 1.450%)
due 10/25/29 § ~

    2,825,000       2,749,720  

Volkswagen Auto Loan Enhanced Trust
1.260% due 08/20/26

    1,045,000       1,016,943  

World Omni Auto Receivables Trust

   

1.640% due 08/17/26

    825,000       793,718  

2.550% due 09/15/28

    1,105,000       1,037,788  

World Omni Select Auto Trust

   

0.840% due 06/15/26

    1,200,000       1,171,504  

1.250% due 10/15/26

    1,375,000       1,310,696  

1.440% due 11/15/27

    540,000       484,230  

5.870% due 08/15/28

    1,200,000       1,202,393  
   

 

 

 

Total Asset-Backed Securities
(Cost $202,885,217)

 

    197,949,947  
   

 

 

 

U.S. GOVERNMENT AGENCY ISSUE - 0.3%

 

 

Federal Home Loan Banks
5.000% due 02/28/25

    4,190,000       4,248,283  
   

 

 

 

Total U.S. Government Agency Issue
(Cost $4,184,680)

 

    4,248,283  
   

 

 

 
   

Principal
Amount

   

Value

 

U.S. TREASURY OBLIGATIONS - 28.8%

 

U.S. Treasury Notes - 28.8%

 

1.750% due 03/15/25

    $58,565,000       $56,029,090  

2.750% due 05/15/25

    57,850,000       56,348,386  

4.000% due 12/15/25

    5,875,000       5,898,752  

4.125% due 01/31/25

    3,070,000       3,069,520  

4.500% due 11/15/25 ‡

    28,750,000       29,179,566  

4.625% due 02/28/25

    316,200,000       319,300,243  
   

 

 

 
    469,825,557  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $473,921,537)

 

    469,825,557  
   

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 0.4%

 

 

Korea Housing Finance Corp. (South Korea) 4.625% due 02/24/28 ~

    3,300,000       3,302,412  

Korea Hydro & Nuclear Power Co. Ltd. (South Korea)

   

1.250% due 04/27/26 ~

    1,790,000       1,606,319  

4.250% due 07/27/27 ~

    1,480,000       1,457,112  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $6,552,573)

 

    6,365,843  
   

 

 

 

MUNICIPAL BONDS - 0.1%

   

Golden State Tobacco Securitization Corp. 1.711% due 06/01/24

    1,505,000       1,444,818  
   

 

 

 

Total Municipal Bonds
(Cost $1,505,000)

 

    1,444,818  
   

 

 

 

SHORT-TERM INVESTMENT - 1.0%

   

Repurchase Agreement - 1.0%

   

Fixed Income Clearing Corp.
4.450% due 04/03/23 (Dated 03/31/23, repurchase price of $15,789,246; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $16,099,120)

    15,783,393       15,783,393  
   

 

 

 

Total Short-Term Investment
(Cost $15,783,393)

 

    15,783,393  
   

 

 

 

TOTAL INVESTMENTS - 100.8%
(Cost $1,693,112,261)

 

    1,645,298,851  
   

 

 

 

DERIVATIVES - 0.0%

 

    680,105  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.8%)

 

    (13,057,237
   

 

 

 

NET ASSETS - 100.0%

 

    $1,632,921,719  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

76

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding   

Expiration

Month

   Number of
Contracts
    

Notional

Amount

     Value      Unrealized
Appreciation
(Depreciation)
 

U.S. Treasury 2-Year Notes

   06/23      1,015        $207,184,928        $209,549,923        $2,364,995  
              

 

 

 

Short Futures Outstanding

                                

U.S. Treasury 5-Year Notes

   06/23      168        18,083,980        18,397,313        (313,333

U.S. Treasury 10-Year Notes

   06/23      209        23,331,475        24,018,672        (687,197

U.S. Treasury Ultra 10-Year Notes

   06/23      153        18,008,699        18,534,516        (525,817

U.S. Treasury Ultra Long Bonds

   06/23      33        4,498,582        4,657,125        (158,543
              

 

 

 
     (1,684,890
              

 

 

 

Total Futures Contracts

 

     $680,105  
              

 

 

 

 

(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

          

Total Value at

March 31, 2023

    

Level 1

Quoted Price

    

Level 2

Significant

Observable Inputs

    

Level 3

Significant

Unobservable Inputs

 

Assets

 

Corporate Bonds & Notes

     $732,129,534        $-        $732,129,534        $-  
 

Mortgage-Backed Securities

     217,551,476        -        217,551,476        -  
 

Asset-Backed Securities

     197,949,947        -        197,949,947        -  
 

U.S. Government Agency Issue

     4,248,283        -        4,248,283        -  
 

U.S. Treasury Obligations

     469,825,557        -        469,825,557        -  
 

Foreign Government Bonds & Notes

     6,365,843        -        6,365,843        -  
 

Municipal Bonds

     1,444,818        -        1,444,818        -  
 

Short-Term Investment

     15,783,393        -        15,783,393        -  
 

Derivatives:

           
 

Interest Rate Contracts

           
 

Futures

     2,364,995        2,364,995        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     1,647,663,846        2,364,995        1,645,298,851        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Interest Rate Contracts

           
 

Futures

     (1,684,890      (1,684,890      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (1,684,890      (1,684,890      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,645,978,956        $680,105        $1,645,298,851        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

77

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 34.5%

 

Azerbaijan - 0.5%

 

SOCAR Turkey Enerji AS via Steas Funding 1 DAC
7.230% due 03/17/26 ~

    $1,020,000       $983,280  
   

 

 

 

Brazil - 1.1%

   

CSN Inova Ventures
6.750% due 01/28/28 ~

    2,000,000       1,880,521  

MC Brazil Downstream Trading SARL
7.250% due 06/30/31 ~

    34,588       27,212  

Usiminas International SARL
5.875% due 07/18/26 ~

    600,000       568,734  
   

 

 

 
    2,476,467  
   

 

 

 

Chile - 0.6%

   

Alfa Desarrollo SpA
4.550% due 09/27/51 ~

    806,007       591,726  

Corp. Nacional del Cobre de Chile
5.125% due 02/02/33 ~

    750,000       758,200  
   

 

 

 
    1,349,926  
   

 

 

 

China - 2.9%

   

Country Garden Holdings Co. Ltd.

   

2.700% due 07/12/26 ~

    200,000       110,650  

3.125% due 10/22/25 ~

    925,000       536,428  

4.200% due 02/06/26 ~

    1,400,000       818,912  

5.400% due 05/27/25 ~

    250,000       163,891  

6.150% due 09/17/25 ~

    200,000       128,863  

7.250% due 04/08/26 ~

    850,000       539,750  

Powerlong Real Estate Holdings Ltd.

   

4.900% due 05/13/26 ~

    400,000       92,000  

6.250% due 08/10/24 ~

    300,000       74,062  

Prosus NV

   

3.257% due 01/19/27 ~

    2,900,000       2,638,180  

4.193% due 01/19/32 ~

    1,575,000       1,340,056  
   

 

 

 
    6,442,792  
   

 

 

 

Colombia - 0.4%

   

Ecopetrol SA
8.875% due 01/13/33

    800,000       810,400  
   

 

 

 

Czech Republic - 0.6%

   

Energo-Pro AS
8.500% due 02/04/27 ~

    1,425,000       1,373,344  
   

 

 

 

Ghana - 1.0%

   

Kosmos Energy Ltd.

   

7.125% due 04/04/26 ~

    1,000,000       859,214  

7.500% due 03/01/28 ~

    1,150,000       937,301  

7.750% due 05/01/27 ~

    500,000       420,565  
   

 

 

 
    2,217,080  
   

 

 

 

Hong Kong - 1.3%

   

AIA Group Ltd.
due 04/04/33 # ~

    575,000       579,136  

Melco Resorts Finance Ltd.

   

5.250% due 04/26/26 ~

    350,000       315,789  

5.625% due 07/17/27 ~

    625,000       550,625  

5.750% due 07/21/28 ~

    1,550,000       1,342,300  
   

 

 

 
    2,787,850  
   

 

 

 
   

Principal
Amount

   

Value

 

Hungary - 0.2%

   

OTP Bank Nyrt
7.350% due 03/04/26 ~

    EUR 450,000       $487,849  
   

 

 

 

Israel - 6.3%

   

Bank Hapoalim BM
3.255% due 01/21/32 ~

    $2,425,000       2,026,087  

Bank Leumi Le-Israel BM
7.129% due 07/18/33 ~

    1,750,000       1,702,750  

Energean Israel Finance Ltd.

   

4.875% due 03/30/26 ~

    1,075,000       998,406  

5.375% due 03/30/28 ~

    2,425,000       2,176,437  

Israel Discount Bank Ltd.
5.375% due 01/26/28 ~

    2,475,000       2,440,157  

Leviathan Bond Ltd.

   

5.750% due 06/30/23 ~

    725,000       723,913  

6.125% due 06/30/25 ~

    1,800,000       1,757,250  

6.500% due 06/30/27 ~

    2,025,000       1,949,063  
   

 

 

 
    13,774,063  
   

 

 

 

Kazakhstan - 2.4%

   

KazMunayGas National Co. JSC
5.375% due 04/24/30 ~

    3,975,000       3,555,030  

Tengizchevroil Finance Co. International Ltd.
4.000% due 08/15/26 ~

    1,900,000       1,683,970  
   

 

 

 
    5,239,000  
   

 

 

 

Macau - 0.3%

   

MGM China Holdings Ltd.
5.250% due 06/18/25 ~

    725,000       687,780  
   

 

 

 

Malaysia - 0.5%

   

Gohl Capital Ltd.
4.250% due 01/24/27 ~

    1,192,000       1,091,834  
   

 

 

 

Mexico - 3.6%

   

Banco Mercantil del Norte SA
5.875% due 01/24/27 ~

    2,300,000       1,960,750  

BBVA Bancomer SA
5.125% due 01/18/33 ~

    200,000       171,256  

Cemex SAB de CV

   

5.125% due 06/08/26 ~

    1,450,000       1,299,490  

9.125% due 03/14/28 ~

    575,000       576,554  

Comision Federal de Electricidad
5.000% due 09/29/36 ~

    1,944,800       1,636,827  

Petroleos Mexicanos
6.490% due 01/23/27

    2,600,000       2,359,721  
   

 

 

 
    8,004,598  
   

 

 

 

Nigeria - 0.5%

   

IHS Holding Ltd.
5.625% due 11/29/26 ~

    1,275,000       1,077,120  
   

 

 

 

Oman - 0.6%

   

Lamar Funding Ltd.
3.958% due 05/07/25 ~

    1,475,000       1,406,855  
   

 

 

 

Poland - 0.1%

   

Polski Koncern Naftowy ORLEN SA
1.125% due 05/27/28 ~

    EUR 225,000       205,019  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

78

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Qatar - 0.7%

 

QIB Sukuk Ltd.
3.982% due 03/26/24 ~

    $1,600,000       $ 1,579,440  
   

 

 

 

Romania - 0.4%

   

NE Property BV
3.375% due 07/14/27 ~

    EUR 975,000       931,585  
   

 

 

 

Saudi Arabia - 1.2%

   

Greensaif Pipelines Bidco SARL
6.129% due 02/23/38 ~

    $1,625,000       1,673,258  

TMS Issuer Sarl
5.780% due 08/23/32 ~

    1,000,000       1,044,520  
   

 

 

 
    2,717,778  
   

 

 

 

South Africa - 3.5%

   

Sasol Financing USA LLC

   

4.375% due 09/18/26

    1,650,000       1,493,365  

5.500% due 03/18/31

    900,000       753,574  

6.500% due 09/27/28

    600,000       561,295  

Stillwater Mining Co.

   

4.000% due 11/16/26 ~

    2,450,000       2,195,690  

4.500% due 11/16/29 ~

    950,000       783,935  

Transnet SOC Ltd.
8.250% due 02/06/28 ~

    1,950,000       1,944,959  
   

 

 

 
    7,732,818  
   

 

 

 

South Korea - 0.4%

   

SK Hynix, Inc.
6.250% due 01/17/26 ~

    800,000       808,540  
   

 

 

 

Supranational - 0.9%

   

Africa Finance Corp.
2.875% due 04/28/28 ~

    2,500,000       2,055,375  
   

 

 

 

Tanzania - 0.8%

   

HTA Group Ltd.
7.000% due 12/18/25 ~

    1,762,000       1,676,279  
   

 

 

 

Ukraine - 0.1%

   

NPC Ukrenergo
6.875% due 11/09/28 ~ Y

    1,375,000       200,006  
   

 

 

 

United Arab Emirates - 2.0%

   

Galaxy Pipeline Assets Bidco Ltd.
2.160% due 03/31/34 ~

    4,346,790       3,748,753  

MAF Global Securities Ltd.
7.875% due 06/30/27 ~

    625,000       631,481  
   

 

 

 
    4,380,234  
   

 

 

 

Venezuela - 1.6%

   

Petroleos de Venezuela SA

   

5.375% due 04/12/27 * Y ~

    1,432,000       64,440  

8.500% * Y ~

    11,929,000       3,220,830  

9.000% * Y ~

    1,780,581       82,352  

9.750% due 05/17/35 * Y ~

    2,733,498       133,258  

12.750% * Y ~

    1,152,000       59,040  
   

 

 

 
    3,559,920  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $89,695,327)

 

    76,057,232  
   

 

 

 
   

Principal
Amount

   

Value

 

CONVERTIBLE CORPORATE BONDS & NOTES - 0.9%

 

 

United Arab Emirates - 0.9%

   

Abu Dhabi National Oil Co. (United Arab Emirates)
0.700% due 06/04/24 ~

    $2,200,000       $2,087,800  
   

 

 

 

Total Convertible Corporate Bonds & Notes
(Cost $2,118,032)

 

    2,087,800  
   

 

 

 
   

Shares

       

FOREIGN GOVERNMENT BONDS & NOTES - 57.5%

 

 

Angola - 0.9%

   

Angolan Government

   

8.000% due 11/26/29 ~

    2,425,000       2,086,470  
   

 

 

 

Bahamas - 1.1%

   

Bahamas Government

   

6.000% due 11/21/28 ~

    2,675,000       2,042,986  

9.000% due 06/16/29 ~

    450,000       385,332  
   

 

 

 
      2,428,318  
   

 

 

 

Brazil - 5.0%

   

Brazil Notas do Tesouro Nacional Class F

   

10.000% due 01/01/27

    BRL 59,800,000       11,084,316  
   

 

 

 

Colombia - 2.5%

   

Colombia Government

   

3.000% due 01/30/30

    $1,775,000       1,396,641  

4.500% due 03/15/29

    2,075,000       1,833,952  

Colombia TES

   

6.000% due 04/28/28

    COP 13,600,000,00       2,343,004  
   

 

 

 
      5,573,597  
   

 

 

 

Czech Republic - 2.7%

   

Czech Republic Government

   

1.000% due 06/26/26 ~

    CZK 53,800,000       2,199,247  

1.250% due 02/14/25

    38,800,000       1,667,529  

2.400% due 09/17/25 ~

    45,900,000       1,986,520  
   

 

 

 
      5,853,296  
   

 

 

 

Ecuador - 0.8%

   

Ecuador Government VRN

   

2.500% due 07/31/35 § ~

    $5,225,000       1,762,262  
   

 

 

 

El Salvador - 1.3%

   

El Salvador Government

   

6.375% due 01/18/27 ~

    900,000       507,430  

7.625% due 09/21/34 ~

    500,000       237,066  

7.625% due 02/01/41 ~

    1,925,000       909,259  

7.650% due 06/15/35 ~

    1,280,000       608,311  

8.625% due 02/28/29 ~

    1,100,000       593,084  
   

 

 

 
      2,855,150  
   

 

 

 

Ghana - 0.1%

   

Ghana Government REGS

   

10.750% due 10/14/30 ~

    400,000       277,710  
   

 

 

 

Hungary - 1.5%

   

Hungary Government

   

6.125% due 05/22/28 ~

    1,800,000       1,848,161  

6.250% due 09/22/32 ~

    1,425,000       1,456,143  
   

 

 

 
      3,304,304  
   

 

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

79

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Indonesia - 4.2%

 

Indonesia Treasury

   

5.125% due 04/15/27

    IDR 7,300,000,000       $467,001  

6.375% due 08/15/28

    50,000,000,000       3,340,708  

6.500% due 02/15/31

    28,900,000,000       1,916,773  

7.000% due 02/15/33

    52,300,000,000       3,549,857  
   

 

 

 
    9,274,339  
   

 

 

 

Iraq - 2.1%

   

Iraq Government
5.800% due 01/15/28 ~

    $4,921,875       4,601,495  
   

 

 

 

Israel - 1.0%

   

Israel Government
4.500% due 01/17/33

    2,270,000       2,270,000  
   

 

 

 

Ivory Coast - 1.9%

   

Ivory Coast Government

   

4.875% due 01/30/32 ~

    EUR 4,425,000       3,670,544  

5.875% due 10/17/31 ~

    686,000       613,274  
   

 

 

 
    4,283,818  
   

 

 

 

Mexico - 8.5%

   

Mexican Bonos

   

7.750% due 11/23/34

    MXN 206,500,000       10,576,880  

7.750% due 11/13/42

    43,300,000       2,096,746  

Mexico Government

   

4.875% due 05/19/33

    $3,575,000       3,427,116  

6.350% due 02/09/35

    2,525,000       2,687,606  
   

 

 

 
    18,788,348  
   

 

 

 

Nigeria - 0.9%

   

Nigeria Government MTN REGS
6.125% due 09/28/28 ~

    2,500,000       1,954,375  
   

 

 

 

Peru - 2.9%

   

Peru Government

   

5.400% due 08/12/34

    PEN 10,100,000       2,254,432  

5.940% due 02/12/29

    9,200,000       2,309,641  

Peruvian Government

   

6.350% due 08/12/28 ~

    6,700,000       1,737,545  
   

 

 

 
    6,301,618  
   

 

 

 

Poland - 4.4%

   

Republic of Poland Government

   

due 10/04/33 #

    $3,650,000       3,638,502  

2.500% due 07/25/26

    PLN 11,800,000       2,454,056  

4.000% due 01/22/24

    $1,000,000       993,788  

5.858% due 07/25/24

    PLN 12,200,000       2,621,435  
   

 

 

 
    9,707,781  
   

 

 

 

Romania - 3.3%

   

Romanian Government

   

1.375% due 12/02/29 ~

    EUR 650,000       531,806  

2.000% due 04/14/33 ~

    2,725,000       2,022,416  

3.624% due 05/26/30 ~

    725,000       667,311  

4.850% due 07/25/29

    RON 7,500,000       1,442,432  

5.000% due 02/12/29

    6,900,000       1,349,579  

6.625% due 09/27/29 ~

    EUR 1,050,000       1,165,986  
   

 

 

 
    7,179,530  
   

 

 

 
   

Principal
Amount

   

Value

 

Saudi Arabia - 3.2%

   

Saudi Government

   

4.750% due 01/18/28 ~

    $1,800,000       $1,823,463  

4.875% due 07/18/33 ~

    1,425,000       1,440,765  

5.000% due 01/18/53 ~

    1,175,000       1,094,604  

4.500% due 10/26/46 ~

    3,175,000       2,794,473  
   

 

 

 
    7,153,305  
   

 

 

 

Senegal - 1.1%

   

Senegal Government

   

4.750% due 03/13/28 ~

    EUR 2,325,000       2,127,106  

6.250% due 07/30/24 ~

    $400,000       386,260  
   

 

 

 
    2,513,366  
   

 

 

 

Serbia - 0.4%

   

Serbia Government ~
6.250% due 05/26/28 ~

    875,000       885,780  
   

 

 

 

South Africa - 2.7%

   

Republic of South Africa Government

   

8.750% due 01/31/44

    ZAR 1,000       44  

8.750% due 02/28/48

    2,000       86  

8.875% due 02/28/35

    124,290,000       5,991,469  
   

 

 

 
    5,991,599  
   

 

 

 

South Korea - 0.6%

   

Korea Government
3.875% due 09/11/23

    $1,300,000       1,296,292  
   

 

 

 

Sri Lanka - 0.5%

   

Sri Lanka Government

   

6.825% due 07/18/26 Y ~

    298,000       110,639  

6.850% due 11/03/25 * Y ~

    2,400,000       888,131  
   

 

 

 
    998,770  
   

 

 

 

Tunisia - 1.4%

   

Tunisian Republic

   

5.750% due 01/30/25 ~

    200,000       115,052  

6.375% due 07/15/26 ~

    EUR 5,050,000       2,946,149  
   

 

 

 
    3,061,201  
   

 

 

 

Ukraine - 0.8%

   

State Agency of Roads of Ukraine ~ Y

    $3,600,000       577,327  

Ukraine Government

   

1.000% due 08/01/41 § ~ * Y

    1,325,000       356,850  

6.876% due 05/21/31 ~ * Y

    1,100,000       199,241  

7.750% due 09/01/27 ~ * Y

    600,000       108,100  

7.750% due 09/01/28 ~ * Y

    2,450,000       442,717  
   

 

 

 
    1,684,235  
   

 

 

 

Uzbekistan - 0.8%

   

Republic of Uzbekistan

   

4.750% due 02/20/24 ~

    725,000       714,430  

5.375% due 02/20/29 ~

    1,050,000       963,407  
   

 

 

 
    1,677,837  
   

 

 

 

Venezuela - 0.6%

   

Venezuela Government

   

7.750% * Y ~

    913,000       68,475  

8.250% due 10/13/24 * Y ~

    1,784,900       196,339  

9.000% due 05/07/23 * Y ~

    816,000       87,720  

11.750% due 10/21/26 * Y ~

    7,749,400       833,061  

12.750% * Y ~

    1,624,000       174,580  
   

 

 

 
    1,360,175  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

80

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Zambia - 0.3%

 

Zambia Government
8.500% due 04/14/24 * Y ~

    $1,250,000       $570,313  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $134,991,961)

 

    126,779,600  
   

 

 

 

SHORT-TERM INVESTMENTS - 5.9%

 

Repurchase Agreement - 3.6%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $7,964,974; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $8,121,263)

    7,962,021       7,962,021  
   

 

 

 

U.S. Treasury Bills - 2.3%

   

4.366% due 05/04/23

    5,000,000       4,980,135  
   

 

 

 

Total Short-Term Investments
(Cost $12,940,846)

      12,942,156  
   

 

 

 

TOTAL INVESTMENTS - 98.8%
(Cost $239,746,166)

      217,866,788  
   

 

 

 

DERIVATIVES - (0.0%)

      (105,566
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 1.2%

 

    2,666,877  
   

 

 

 

NET ASSETS - 100.0%

      $220,428,099  
   

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $8,373,419 or 3.8% of the Fund’s net assets were in default as of March 31, 2023.

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

81

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(b)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Short Futures Outstanding     

Expiration

Month

     Number of
Contracts
    Notional
Amount
    Value      Unrealized
Appreciation
(Depreciation)
 

Euro-BTP

     06/23        27       $3,287,979       $3,377,621        ($89,642
                

 

 

 

 

(c)

Forward foreign currency contracts outstanding as of March 31, 2023 were as follows:

 

Currency
Purchased
          Currency
Sold
         

Settlement

Month

       Counterparty        Unrealized
Appreciation
     Unrealized
Depreciation
 
BRL      16,350,000        USD      3,088,332        04/23     JPM       $126,918        $-  
CZK      98,725,000        USD      4,458,430        04/23     JPM       98,859        -  
EUR      1,900,000        USD      2,028,668        04/23     JPM       33,367        -  
HUF      1,925,000,000        USD      5,385,738        04/23     JPM       72,324        -  
ILS      15,700,000        USD      4,438,633        04/23     JPM       -        (70,720
INR      540,500,000        USD      6,566,239        04/23     CIT       7,181        -  
PLN      22,100,000        USD      5,124,539        04/23     JPM       -        (10,870
THB      112,100,000        USD      3,272,037        04/23     HSB       13,261        -  
THB      104,400,000        USD      3,053,490        04/23     JPM       6,146        -  
USD      3,100,534        BRL      16,350,000        04/23     CIT       -        (114,716
USD      10,966,201        CNH      75,200,000        04/23     CIT       7,682        -  
USD      2,151,467        COP      10,400,000,000        04/23     JPM       -        (72,919
USD      20,032,263        EUR      18,722,756        04/23     JPM       -        (288,255
USD      245,198        EUR      225,000        04/23     JPM       1,010        -  
USD      3,349,610        MXN      63,100,000        04/23     CIT       -        (138,375
USD      5,067,524        PLN      22,100,000        04/23     JPM       -        (46,146
USD      12,227,254        ZAR      228,000,000        04/23     CIT       -        (555,476
                       

 

 

    

 

 

 

Total Forward Foreign Currency Contracts

        $366,748        ($1,297,477
                       

 

 

    

 

 

 

 

(d)

Swap agreements outstanding as of March 31, 2023 were as follows:

Credit Default Swaps on Corporate and Sovereign Issues – Buy Protection (1)

 

Referenced Obligation   Payment
Frequency
  Fixed Deal
Pay
Rate
    Expiration
Date
    Counter-
party
  Implied Credit
Spread at
03/31/23 (2)
  Notional
Amount (3)
    Value     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 

Bank of China Ltd.

  Q     1.000%       12/20/25     GSC   0.553%     $5,900,000       ($69,876     ($62,719     ($7,157

China Development Bank

  Q     1.000%       12/20/25     GSC   0.534%     4,600,000       (56,641     (50,890     (5,751

Industrial & Commercial Bank of China Ltd.

  Q     1.000%       12/20/25     GSC   0.539%     5,150,000       (62,813     (55,894     (6,919

China Construction Bank Corp.

  Q     1.000%       12/20/25     GSC   0.551%     5,150,000       (61,267     (55,894     (5,373
             

 

 

   

 

 

   

 

 

 
                (250,597     (225,397     (25,200
             

 

 

   

 

 

   

 

 

 
                   

Exchange

                           

Bahrain Government

  Q     1.000%       06/20/28     ICE   2.439%     1,700,000       108,939       127,815       (18,876

South Africa Government

  Q     1.000%       06/20/28     ICE   2.739%     8,700,000       674,164       652,254       21,910  
             

 

 

   

 

 

   

 

 

 
                783,103       780,069       3,034  
             

 

 

   

 

 

   

 

 

 

Total Credit default Swaps on Corporate and Sovereign Issues – Buy Protection

      $532,506       $554,672       ($22,166
             

 

 

   

 

 

   

 

 

 

Credit Default Swaps on Corporate Issues – Sell Protection (4)

 

Referenced Obligation   Payment
Frequency
  Fixed Deal
Receive
Rate
    Expiration
Date
    Exchange   Implied Credit
Spread at
03/31/23 (2)
  Notional
Amount (3)
    Value (5)     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 

South Africa Government

  Q     1.000%       06/20/28     ICE   2.739%     $2,825,000       ($218,909     ($244,947     $26,038  
             

 

 

   

 

 

   

 

 

 

Credit Default Swaps on Credit Indices – Buy Protection (1)

 

Referenced Obligation   Payment
Frequency
  Fixed Deal
Pay
Rate
    Expiration
Date
    Exchange   Notional
Amount (3)
    Value (5)     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 

CDX iTraxx Europe

  Q     5.000%       12/20/27     ICE     EUR 23,500,000       ($955,150     ($470,071     ($485,079
           

 

 

   

 

 

   

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

82

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Credit Default Swaps on Credit Indices – Sell Protection (1)

 

Referenced Obligation    Payment
Frequency
   Fixed Deal
Receive
Rate
     Expiration
Date
     Exchange    Notional
Amount (3)
     Value (5)      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 

CDX iTraxx Europe

   Q      5.000%        12/20/27      ICE      EUR 15,800,000        $642,202        $261,791        $380,411  
                 

 

 

    

 

 

    

 

 

 

Total Credit Default Swaps

 

     $649        $101,445        ($100,796
                 

 

 

    

 

 

    

 

 

 

 

  (1)

If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying investments comprising the referenced index or (ii) receive a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index.

  (2)

An implied credit spread is the spread in yield between a U.S. Treasury security and the referenced obligation or underlying investment that are identical in all respects except for the quality rating. Implied credit spreads, represented in the absolute terms, utilized in determining the value of credit default swap agreements on corporate and sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood of risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter the agreement. Wider credit spreads, in comparison to narrower credit spreads, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as “Defaulted” indicates a credit event has occurred for the referenced entity or obligation.

  (3)

The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

  (4)

If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying investments comprising the referenced index or (ii) pay a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index.

  (5)

The quoted market prices and resulting values for credit default swap agreements on credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative had the notional amount of the swap agreement been closed/sold as of period end. Increasing values (buy protection) or decreasing values (sell protection), when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement.

Interest Rate Swaps – Long

 

Receive    Pay    Payment
Frequency
Receive Rate/
Pay Rate
   Exchange    Expiration
Date
     Notional
Amount
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 
11.770%    Brazil CETIP Interbank    Z/Z    LCH      01/02/25        BRL 207,710,417        ($487,579      ($746,462      $258,883  
9.481%    28-Day MXN TIIE    L/L    LCH      06/18/25        MXN 445,000,000        -        -        -  
11.950%    Brazil CETIP Interbank    Z/Z    LCH      01/04/27        BRL 37,999,875        -        -        -  
3.208%    3-Month ILS-TELBOR    A/Q    LCH      03/15/28        ILS 37,400,000        (230,074      -        (230,074
3.488%    3-Month ILS-TELBOR    A/Q    LCH      06/21/28        34,300,000        (65,681      -        (65,681
3.634%    3-Month KRW-KWCDC    Q/Q    LCH      06/21/28        KRW 9,300,000,000        168,484        -        168,484  
8.763%    28-Day MXN TIIE    L/L    LCH      12/08/32        MXN 50,800,000        69,810        -        69,810  
                 

 

 

    

 

 

    

 

 

 
     ($545,040      ($746,462      $201,422  
                 

 

 

    

 

 

    

 

 

 

Interest Rate Swaps – Short

                    
Pay    Receive    Payment
Frequency
Pay Rate/
Receive Rate
   Exchange    Expiration
Date
     Notional
Amount
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 
7.372%    1-Day CLP CAMARA    S/S    LCH      11/29/24        CLP 23,000,000,000        $755,016        $13,992        $741,024  
3.952%    1-Day USD SOFR    A/A    LCH      06/18/25        $23,400,000        -        -        -  
3.208%    3-Month ILS-TELBOR    A/Q    LCH      03/15/28        ILS 37,400,000        230,200        160,456        69,744  
8.763%    28-Day MXN TIIE    L/L    LCH      12/08/32        MXN 50,800,000        (66,705      (70,116      3,411  
                 

 

 

    

 

 

    

 

 

 
     $918,511        $104,332        $814,179  
                 

 

 

    

 

 

    

 

 

 

Total Interest Rate Swaps

       $373,471        (642,130      1,015,601  
                 

 

 

    

 

 

    

 

 

 

Total Swap Agreements

       $374,120        ($540,685      $914,805  
                 

 

 

    

 

 

    

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

83

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(e)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $76,057,232        $-        $76,057,232        $-  
 

Convertible Corporate Bonds & Notes

     2,087,800        -        2,087,800        -  
 

Foreign Government Bonds & Notes

     126,779,600        -        126,779,600        -  
 

Short-Term Investments

     12,942,156        -        12,942,156        -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     428,359        -        428,359        -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     366,748        -        366,748        -  
 

Interest Rate Contracts

           
 

Swaps

     1,311,356        -        1,311,356        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     1,311,356        -        1,311,356        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset - Derivatives

     2,106,463        -        2,106,463        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     219,973,251        -        219,973,251        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     (529,155      -        (529,155      -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     (1,297,477      -        (1,297,477      -  
 

Interest Rate Contracts

           
 

Futures

     (89,642      (89,642      -        -  
 

Swaps

     (295,755      -        (295,755      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     (385,397      (89,642      (295,755      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities - Derivatives

     (2,212,029      (89,642      (2,122,387      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (2,212,029      (89,642      (2,122,387      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $217,761,222        ($89,642      $217,850,864        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

84

PACIFIC SELECT FUND

DIVIDEND GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

PREFERRED STOCKS - 0.3%

 

Consumer, Cyclical - 0.3%

 

Dr Ing hc F Porsche AG *

    40,050       $5,140,384  
   

 

 

 

Total Preferred Stocks
(Cost $3,348,050)

      5,140,384  
   

 

 

 

COMMON STOCKS - 96.0%

   

Basic Materials - 3.3%

   

Air Products & Chemicals, Inc.

    25,337       7,277,040  

Linde PLC

    48,194       17,130,075  

Nutrien Ltd. (Canada)

    98,351       7,263,221  

RPM International, Inc.

    53,824       4,695,606  

Sherwin-Williams Co.

    46,741       10,505,975  
   

 

 

 
    46,871,917  
   

 

 

 

Communications - 0.8%

   

Walt Disney Co. *

    116,990       11,714,209  
   

 

 

 

Consumer, Cyclical - 10.3%

   

Costco Wholesale Corp.

    14,760       7,333,801  

Cummins, Inc.

    29,181       6,970,757  

Dollar General Corp.

    87,403       18,394,835  

Hilton Worldwide Holdings, Inc.

    109,016       15,357,084  

Home Depot, Inc.

    56,169       16,576,595  

Las Vegas Sands Corp. *

    122,795       7,054,573  

Marriott International, Inc. Class A

    18,969       3,149,613  

McDonald’s Corp.

    59,505       16,638,193  

NIKE, Inc. Class B

    75,406       9,247,792  

Ross Stores, Inc.

    178,228       18,915,337  

Tractor Supply Co.

    24,566       5,773,993  

Walmart, Inc.

    85,597       12,621,278  

Yum! Brands, Inc.

    64,228       8,483,234  
   

 

 

 
    146,517,085  
   

 

 

 

Consumer, Non-Cyclical - 26.6%

   

AbbVie, Inc.

    126,044       20,087,632  

AstraZeneca PLC ADR (United Kingdom)

    256,552       17,807,274  

Automatic Data Processing, Inc.

    35,665       7,940,099  

Avery Dennison Corp.

    64,906       11,613,631  

Becton Dickinson & Co.

    76,981       19,055,877  

Cigna Group

    27,753       7,091,724  

Coca-Cola Co.

    286,333       17,761,236  

Colgate-Palmolive Co.

    50,583       3,801,312  

Constellation Brands, Inc. Class A

    37,475       8,465,228  

Danaher Corp.

    89,097       22,456,008  

Diageo PLC (United Kingdom)

    161,949       7,227,723  

Elevance Health, Inc.

    24,948       11,471,340  

Eli Lilly & Co.

    43,631       14,983,758  

Equifax, Inc.

    29,451       5,973,841  

GE HealthCare Technologies, Inc. *

    92,103       7,555,209  

Johnson & Johnson

    89,804       13,919,620  

Keurig Dr Pepper, Inc.

    113,119       3,990,838  

McKesson Corp.

    43,957       15,650,890  

Medtronic PLC

    47,068       3,794,622  

Mondelez International, Inc. Class A

    290,834       20,276,946  

Nestle SA

    53,309       6,499,993  

PepsiCo, Inc.

    101,212       18,450,948  

Philip Morris International, Inc.

    190,014       18,478,862  

S&P Global, Inc.

    19,904       6,862,302  

Stryker Corp.

    58,784       16,781,068  

Thermo Fisher Scientific, Inc.

    42,781       24,657,685  

UnitedHealth Group, Inc.

    68,971       32,595,005  
   

Shares

   

Value

 

Zoetis, Inc.

    76,556       $ 12,741,981  
   

 

 

 
    377,992,652  
   

 

 

 

Energy - 2.7%

   

EOG Resources, Inc.

    118,439       13,576,663  

Exxon Mobil Corp.

    163,071       17,882,366  

TotalEnergies SE (France)

    119,815       7,064,732  
   

 

 

 
    38,523,761  
   

 

 

 

Financial - 17.4%

   

American Express Co.

    61,646       10,168,508  

American Tower Corp. REIT

    72,875       14,891,278  

Aon PLC Class A

    43,009       13,560,308  

Bank of America Corp.

    536,789       15,352,165  

Charles Schwab Corp.

    212,967       11,155,211  

Chubb Ltd.

    121,220       23,538,500  

CME Group, Inc.

    19,101       3,658,224  

Crown Castle, Inc. REIT

    12,270       1,642,217  

Equity Residential REIT

    250,306       15,018,360  

Goldman Sachs Group, Inc.

    20,159       6,594,210  

Hartford Financial Services Group, Inc.

    120,784       8,417,437  

JPMorgan Chase & Co.

    185,808       24,212,640  

Marsh & McLennan Cos., Inc.

    146,910       24,467,861  

Morgan Stanley

    175,665       15,423,387  

Progressive Corp.

    62,638       8,960,992  

Rexford Industrial Realty, Inc. REIT

    141,188       8,421,864  

Visa, Inc. Class A

    124,350       28,035,951  

Wells Fargo & Co.

    335,127       12,527,047  
   

 

 

 
    246,046,160  
   

 

 

 

Industrial - 14.2%

   

Agilent Technologies, Inc.

    101,172       13,996,134  

Amphenol Corp. Class A

    130,501       10,664,542  

Ball Corp.

    141,988       7,824,959  

General Electric Co.

    216,695       20,716,042  

Honeywell International, Inc.

    97,291       18,594,256  

Howmet Aerospace, Inc.

    194,205       8,228,466  

Illinois Tool Works, Inc.

    43,044       10,479,062  

JB Hunt Transport Services, Inc.

    43,228       7,584,785  

Northrop Grumman Corp.

    30,674       14,162,799  

Old Dominion Freight Line, Inc.

    25,403       8,658,358  

Otis Worldwide Corp.

    78,647       6,637,807  

Schneider Electric SE

    47,012       7,856,823  

Stanley Black & Decker, Inc.

    79,234       6,384,676  

TE Connectivity Ltd.

    92,911       12,185,277  

Trane Technologies PLC

    44,354       8,160,249  

Union Pacific Corp.

    79,170       15,933,754  

United Parcel Service, Inc. Class B

    45,115       8,751,859  

Waste Connections, Inc.

    106,426       14,800,664  
   

 

 

 
    201,620,512  
   

 

 

 

Technology - 17.4%

   

Accenture PLC Class A

    88,994       25,435,375  

Apple, Inc.

    345,740       57,012,526  

Applied Materials, Inc.

    81,731       10,039,019  

Broadridge Financial Solutions, Inc.

    82,987       12,163,405  

Fidelity National Information Services, Inc.

    89,819       4,879,866  

KLA Corp.

    24,760       9,883,449  

Microchip Technology, Inc.

    98,686       8,267,913  

Microsoft Corp.

    253,615       73,117,204  

QUALCOMM, Inc.

    35,197       4,490,433  

Roper Technologies, Inc.

    46,552       20,515,001  

Texas Instruments, Inc.

    111,394       20,720,398  
   

 

 

 
    246,524,589  
   

 

 

 

Utilities - 3.3%

   

Ameren Corp.

    167,367       14,458,835  

Atmos Energy Corp.

    68,379       7,683,065  

CMS Energy Corp.

    185,723       11,399,678  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

85

PACIFIC SELECT FUND

DIVIDEND GROWTH PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

NextEra Energy, Inc.

    54,605       $4,208,953  

WEC Energy Group, Inc.

    91,809       8,702,575  
   

 

 

 
    46,453,106  
   

 

 

 

Total Common Stocks
(Cost $1,004,024,932)

      1,362,263,991  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 3.7%

   

Repurchase Agreement - 3.7%

   

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $51,958,885; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $52,978,457)

    $51,939,624       51,939,624  
   

 

 

 

Total Short-Term Investment
(Cost $51,939,624)

      51,939,624  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $1,059,312,606)

      1,419,343,999  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    239,251  
   

 

 

 

NET ASSETS - 100.0%

 

    $1,419,583,250  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Preferred Stocks

     $5,140,384        $-        $5,140,384        $-  
 

Common Stocks

           
 

Basic Materials

     46,871,917        46,871,917        -        -  
 

Communications

     11,714,209        11,714,209        -        -  
 

Consumer, Cyclical

     146,517,085        146,517,085        -        -  
 

Consumer, Non-Cyclical

     377,992,652        364,264,936        13,727,716        -  
 

Energy

     38,523,761        31,459,029        7,064,732        -  
 

Financial

     246,046,160        246,046,160        -        -  
 

Industrial

     201,620,512        193,763,689        7,856,823        -  
 

Technology

     246,524,589        246,524,589        -        -  
 

Utilities

     46,453,106        46,453,106        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     1,362,263,991        1,333,614,720        28,649,271        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investment

     51,939,624        -        51,939,624        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,419,343,999        $1,333,614,720        $85,729,279        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

86

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

    

Value

 

COMMON STOCKS - 99.8%

 

Basic Materials - 2.2%

 

Air Products & Chemicals, Inc.

    25,654       $7,368,085  

Albemarle Corp.

    13,583       3,002,386  

Celanese Corp.

    10,995       1,197,246  

CF Industries Holdings, Inc.

    22,841       1,655,744  

Dow, Inc.

    82,005       4,495,514  

DuPont de Nemours, Inc.

    55,458       3,980,221  

Eastman Chemical Co.

    14,195       1,197,206  

Ecolab, Inc.

    28,625       4,738,296  

FMC Corp.

    14,448       1,764,534  

Freeport-McMoRan, Inc.

    165,109       6,754,609  

International Flavors & Fragrances, Inc.

    29,169       2,682,381  

International Paper Co.

    42,181       1,521,047  

Linde PLC

    56,895       20,222,759  

LyondellBasell Industries NV Class A

    28,992       2,722,059  

Mosaic Co.

    40,519       1,859,012  

Newmont Corp.

    91,689       4,494,595  

Nucor Corp.

    29,232       4,515,467  

PPG Industries, Inc.

    27,149       3,626,563  

Sherwin-Williams Co.

    27,241       6,122,960  

Steel Dynamics, Inc.

    18,798       2,125,302  
   

 

 

 
    86,045,986  
   

 

 

 

Communications - 12.1%

   

Alphabet, Inc. Class A *

    688,010       71,367,277  

Alphabet, Inc. Class C *

    599,775       62,376,600  

Amazon.com, Inc. *

    1,029,834       106,371,554  

Arista Networks, Inc. *

    28,592       4,799,453  

AT&T, Inc.

    823,394       15,850,335  

Booking Holdings, Inc. *

    4,488       11,904,016  

CDW Corp.

    15,320       2,985,715  

Charter Communications, Inc. Class A *

    12,544       4,485,860  

Cisco Systems, Inc.

    474,550       24,807,101  

Comcast Corp. Class A

    486,186       18,431,311  

Corning, Inc.

    87,934       3,102,312  

DISH Network Corp. Class A *

    24,949       232,774  

eBay, Inc.

    62,933       2,792,337  

Etsy, Inc. *

    14,276       1,589,347  

Expedia Group, Inc. *

    17,141       1,663,191  

F5, Inc. *

    7,043       1,026,095  

FactSet Research Systems, Inc.

    4,457       1,850,056  

Fox Corp. Class A

    34,199       1,164,476  

Fox Corp. Class B

    14,368       449,862  

Gen Digital, Inc.

    65,904       1,130,913  

Interpublic Group of Cos., Inc.

    45,604       1,698,293  

Juniper Networks, Inc.

    36,259       1,248,035  

Match Group, Inc. *

    33,559       1,288,330  

Meta Platforms, Inc. Class A *

    257,110       54,491,893  

Motorola Solutions, Inc.

    19,315       5,526,601  

Netflix, Inc. *

    51,444       17,772,873  

News Corp. Class A

    44,294       764,957  

News Corp. Class B

    11,270       196,436  

Omnicom Group, Inc.

    22,852       2,155,858  

Paramount Global Class B

    61,474       1,371,485  

T-Mobile US, Inc. *

    68,420       9,909,953  

VeriSign, Inc. *

    10,715       2,264,401  

Verizon Communications, Inc.

    485,152       18,867,561  

Walt Disney Co. *

    211,025       21,129,933  

Warner Bros Discovery, Inc. *

    257,915       3,894,517  
   

 

 

 
    480,961,711  
   

 

 

 

Consumer, Cyclical - 9.4%

   

Advance Auto Parts, Inc.

    6,813       828,529  

Alaska Air Group, Inc. *

    13,969       586,139  

American Airlines Group, Inc. *

    73,874       1,089,641  

Aptiv PLC *

    31,299       3,511,435  
   

Shares

   

    

Value

 

AutoZone, Inc. *

    2,217       $5,449,719  

Bath & Body Works, Inc.

    27,606       1,009,827  

Best Buy Co., Inc.

    22,158       1,734,307  

BorgWarner, Inc.

    27,071       1,329,457  

Caesars Entertainment, Inc. *

    25,691       1,253,978  

CarMax, Inc. *

    17,570       1,129,400  

Carnival Corp. *

    121,389       1,232,098  

Chipotle Mexican Grill, Inc. *

    3,193       5,454,570  

Copart, Inc. *

    49,518       3,724,249  

Costco Wholesale Corp.

    51,258       25,468,562  

Cummins, Inc.

    16,322       3,898,999  

Darden Restaurants, Inc.

    13,788       2,139,346  

Delta Air Lines, Inc. *

    75,520       2,637,158  

Dollar General Corp.

    25,560       5,379,358  

Dollar Tree, Inc. *

    24,023       3,448,502  

Domino’s Pizza, Inc.

    4,229       1,395,020  

DR Horton, Inc.

    35,921       3,509,122  

Fastenal Co.

    65,940       3,556,804  

Ford Motor Co.

    452,281       5,698,741  

General Motors Co.

    163,370       5,992,412  

Genuine Parts Co.

    16,283       2,724,309  

Hasbro, Inc.

    15,081       809,699  

Hilton Worldwide Holdings, Inc.

    30,919       4,355,560  

Home Depot, Inc.

    117,732       34,745,068  

Las Vegas Sands Corp. *

    37,334       2,144,838  

Lennar Corp. Class A

    29,547       3,105,685  

Live Nation Entertainment, Inc. *

    16,213       1,134,910  

LKQ Corp.

    29,051       1,648,935  

Lowe’s Cos., Inc.

    69,953       13,988,501  

Marriott International, Inc. Class A

    31,027       5,151,723  

McDonald’s Corp.

    84,606       23,656,684  

MGM Resorts International

    35,988       1,598,587  

Newell Brands, Inc.

    39,580       492,375  

NIKE, Inc. Class B

    143,894       17,647,160  

Norwegian Cruise Line Holdings Ltd. *

    48,659       654,464  

NVR, Inc. *

    359       2,000,416  

O’Reilly Automotive, Inc. *

    7,175       6,091,431  

PACCAR, Inc.

    60,884       4,456,709  

Pool Corp.

    4,427       1,515,982  

PulteGroup, Inc.

    25,006       1,457,350  

Ralph Lauren Corp.

    4,766       556,049  

Ross Stores, Inc.

    39,127       4,152,549  

Royal Caribbean Cruises Ltd. *

    24,428       1,595,148  

Southwest Airlines Co.

    67,815       2,206,700  

Starbucks Corp.

    132,762       13,824,507  

Tapestry, Inc.

    28,065       1,209,882  

Target Corp.

    53,173       8,807,044  

Tesla, Inc. *

    310,677       64,453,050  

TJX Cos., Inc.

    133,479       10,459,414  

Tractor Supply Co.

    12,539       2,947,167  

Ulta Beauty, Inc. *

    5,951       3,247,282  

United Airlines Holdings, Inc. *

    38,529       1,704,908  

VF Corp.

    36,418       834,336  

Walgreens Boots Alliance, Inc.

    81,786       2,828,160  

Walmart, Inc.

    161,992       23,885,720  

Whirlpool Corp.

    6,457       852,453  

WW Grainger, Inc.

    5,212       3,590,078  

Wynn Resorts Ltd. *

    12,045       1,347,956  

Yum! Brands, Inc.

    31,925       4,216,654  
   

 

 

 
    373,556,816  
   

 

 

 

Consumer, Non-Cyclical - 21.3%

   

Abbott Laboratories

    201,410       20,394,777  

AbbVie, Inc.

    204,287       32,557,219  

Align Technology, Inc. *

    8,494       2,838,185  

Altria Group, Inc.

    206,257       9,203,187  

AmerisourceBergen Corp.

    18,691       2,992,616  

Amgen, Inc.

    61,683       14,911,865  

Archer-Daniels-Midland Co.

    63,147       5,030,290  

Automatic Data Processing, Inc.

    47,864       10,655,962  

Avery Dennison Corp.

    9,367       1,676,037  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

87

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

    

Value

 

Baxter International, Inc.

    57,089       $2,315,530  

Becton Dickinson & Co.

    32,795       8,118,074  

Bio-Rad Laboratories, Inc. Class A *

    2,591       1,241,141  

Bio-Techne Corp.

    17,632       1,308,118  

Biogen, Inc. *

    16,379       4,553,853  

Boston Scientific Corp. *

    165,454       8,277,664  

Bristol-Myers Squibb Co.

    245,604       17,022,813  

Brown-Forman Corp. Class B

    20,644       1,326,790  

Bunge Ltd.

    16,867       1,611,136  

Campbell Soup Co.

    22,767       1,251,730  

Cardinal Health, Inc.

    30,561       2,307,356  

Catalent, Inc. *

    21,035       1,382,210  

Centene Corp. *

    64,382       4,069,586  

Charles River Laboratories International, Inc. *

    5,633       1,136,852  

Church & Dwight Co., Inc.

    27,868       2,463,810  

Cigna Group

    34,263       8,755,224  

Cintas Corp.

    10,009       4,630,964  

Clorox Co.

    14,269       2,257,927  

Coca-Cola Co.

    449,593       27,888,254  

Colgate-Palmolive Co.

    96,480       7,250,472  

Conagra Brands, Inc.

    54,974       2,064,823  

Constellation Brands, Inc. Class A

    18,755       4,236,567  

Cooper Cos., Inc.

    5,567       2,078,495  

Corteva, Inc.

    82,902       4,999,820  

CoStar Group, Inc. *

    46,979       3,234,504  

CVS Health Corp.

    147,457       10,957,530  

Danaher Corp.

    75,717       19,083,713  

DaVita, Inc. *

    6,693       542,869  

Dentsply Sirona, Inc.

    24,679       969,391  

Dexcom, Inc. *

    44,330       5,150,259  

Edwards Lifesciences Corp. *

    71,571       5,921,069  

Elevance Health, Inc.

    27,588       12,685,238  

Eli Lilly & Co.

    91,101       31,285,905  

Equifax, Inc.

    14,004       2,840,571  

Estee Lauder Cos., Inc. Class A

    26,762       6,595,763  

FleetCor Technologies, Inc. *

    8,377       1,766,290  

Gartner, Inc. *

    9,128       2,973,629  

GE HealthCare Technologies, Inc. *

    42,409       3,478,810  

General Mills, Inc.

    68,354       5,841,533  

Gilead Sciences, Inc.

    144,048       11,951,663  

Global Payments, Inc.

    31,502       3,315,270  

HCA Healthcare, Inc.

    24,285       6,403,469  

Henry Schein, Inc. *

    15,796       1,288,006  

Hershey Co.

    17,014       4,328,532  

Hologic, Inc. *

    28,928       2,334,490  

Hormel Foods Corp.

    32,734       1,305,432  

Humana, Inc.

    14,437       7,008,586  

IDEXX Laboratories, Inc. *

    9,491       4,746,259  

Illumina, Inc. *

    18,171       4,225,666  

Incyte Corp. *

    21,164       1,529,522  

Insulet Corp. *

    8,185       2,610,688  

Intuitive Surgical, Inc. *

    40,585       10,368,250  

IQVIA Holdings, Inc. *

    21,451       4,266,389  

J M Smucker Co.

    12,294       1,934,707  

Johnson & Johnson

    302,013       46,812,015  

Kellogg Co.

    30,273       2,027,080  

Keurig Dr Pepper, Inc.

    96,540       3,405,931  

Kimberly-Clark Corp.

    38,987       5,232,835  

Kraft Heinz Co.

    91,974       3,556,635  

Kroger Co.

    75,247       3,714,944  

Laboratory Corp. of America Holdings

    10,118       2,321,272  

Lamb Weston Holdings, Inc.

    16,937       1,770,255  

MarketAxess Holdings, Inc.

    4,303       1,683,721  

McCormick & Co., Inc.

    28,263       2,351,764  

McKesson Corp.

    16,218       5,774,419  

Medtronic PLC

    153,656       12,387,747  

Merck & Co., Inc.

    292,878       31,159,290  

Moderna, Inc. *

    37,860       5,814,539  

Molina Healthcare, Inc. *

    6,909       1,848,088  

Molson Coors Beverage Co. Class B

    22,107       1,142,490  

Mondelez International, Inc. Class A

    157,483       10,979,715  

Monster Beverage Corp. *

    87,994       4,752,556  
   

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Value

 

Moody’s Corp.

    18,200       $5,569,564  

Organon & Co.

    28,657       674,013  

PayPal Holdings, Inc. *

    130,152       9,883,743  

PepsiCo, Inc.

    159,094       29,002,836  

PerkinElmer, Inc.

    14,933       1,989,972  

Pfizer, Inc.

    648,425       26,455,740  

Philip Morris International, Inc.

    179,076       17,415,141  

Procter & Gamble Co.

    272,518       40,520,701  

Quanta Services, Inc.

    16,274       2,711,899  

Quest Diagnostics, Inc.

    12,931       1,829,478  

Regeneron Pharmaceuticals, Inc. *

    12,419       10,204,320  

ResMed, Inc.

    17,132       3,751,737  

Robert Half International, Inc.

    12,427       1,001,243  

Rollins, Inc.

    27,278       1,023,743  

S&P Global, Inc.

    38,028       13,110,914  

STERIS PLC

    11,737       2,245,053  

Stryker Corp.

    38,947       11,118,200  

Sysco Corp.

    58,984       4,555,334  

Teleflex, Inc.

    5,288       1,339,503  

Thermo Fisher Scientific, Inc.

    45,305       26,112,443  

Tyson Foods, Inc. Class A

    32,118       1,905,240  

United Rentals, Inc.

    8,043       3,183,098  

UnitedHealth Group, Inc.

    107,932       51,007,584  

Universal Health Services, Inc. Class B

    7,429       944,226  

Verisk Analytics, Inc.

    17,816       3,418,178  

Vertex Pharmaceuticals, Inc. *

    29,698       9,356,949  

Viatris, Inc.

    136,711       1,315,160  

Waters Corp. *

    7,035       2,178,247  

West Pharmaceutical Services, Inc.

    8,531       2,955,736  

Zimmer Biomet Holdings, Inc.

    23,807       3,075,864  

Zoetis, Inc.

    53,839       8,960,963  
   

 

 

 
    849,305,468  
   

 

 

 

Energy - 4.8%

   

APA Corp.

    37,604       1,356,000  

Baker Hughes Co.

    116,759       3,369,665  

Chevron Corp.

    205,496       33,528,727  

ConocoPhillips

    141,553       14,043,473  

Coterra Energy, Inc.

    89,891       2,205,925  

Devon Energy Corp.

    75,961       3,844,386  

Diamondback Energy, Inc.

    21,229       2,869,524  

Enphase Energy, Inc. *

    15,774       3,316,957  

EOG Resources, Inc.

    67,853       7,777,989  

EQT Corp.

    41,200       1,314,692  

Exxon Mobil Corp.

    475,693       52,164,494  

First Solar, Inc. *

    11,722       2,549,535  

Halliburton Co.

    104,435       3,304,323  

Hess Corp.

    32,053       4,241,894  

Kinder Morgan, Inc.

    228,518       4,001,350  

Marathon Oil Corp.

    74,736       1,790,675  

Marathon Petroleum Corp.

    52,818       7,121,451  

Occidental Petroleum Corp.

    83,686       5,224,517  

ONEOK, Inc.

    50,686       3,220,589  

Phillips 66

    53,827       5,456,981  

Pioneer Natural Resources Co.

    27,446       5,605,571  

Schlumberger NV

    164,054       8,055,052  

SolarEdge Technologies, Inc. *

    6,567       1,996,040  

Targa Resources Corp.

    26,814       1,956,081  

Valero Energy Corp.

    43,455       6,066,318  

Williams Cos., Inc.

    141,386       4,221,786  
   

 

 

 
    190,603,995  
   

 

 

 

Financial - 14.0%

   

Aflac, Inc.

    65,171       4,204,833  

Alexandria Real Estate Equities, Inc. REIT

    18,195       2,285,110  

Allstate Corp.

    30,219       3,348,567  

American Express Co.

    68,773       11,344,106  

American International Group, Inc.

    83,873       4,223,844  

American Tower Corp. REIT

    53,785       10,990,427  

Ameriprise Financial, Inc.

    12,318       3,775,467  

Aon PLC Class A

    23,658       7,459,131  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

88

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

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Value

 

Arch Capital Group Ltd. *

    43,160       $2,929,269  

Arthur J Gallagher & Co.

    24,500       4,687,095  

Assurant, Inc.

    5,817       698,447  

AvalonBay Communities, Inc. REIT

    16,004       2,689,632  

Bank of America Corp.

    806,242       23,058,521  

Bank of New York Mellon Corp.

    84,966       3,860,855  

Berkshire Hathaway, Inc. Class B *

    208,127       64,263,374  

BlackRock, Inc.

    17,299       11,575,107  

Boston Properties, Inc. REIT

    15,602       844,380  

Brown & Brown, Inc.

    26,420       1,517,036  

Camden Property Trust REIT

    12,249       1,284,185  

Capital One Financial Corp.

    44,154       4,245,849  

Cboe Global Markets, Inc.

    11,891       1,596,248  

CBRE Group, Inc. Class A *

    36,618       2,666,157  

Charles Schwab Corp.

    176,197       9,229,199  

Chubb Ltd.

    47,945       9,309,960  

Cincinnati Financial Corp.

    17,742       1,988,523  

Citigroup, Inc.

    223,737       10,491,028  

Citizens Financial Group, Inc.

    58,508       1,776,888  

CME Group, Inc.

    41,554       7,958,422  

Comerica, Inc.

    16,559       718,992  

Crown Castle, Inc. REIT

    50,018       6,694,409  

Digital Realty Trust, Inc. REIT

    33,403       3,283,849  

Discover Financial Services

    31,250       3,088,750  

Equinix, Inc. REIT

    10,690       7,707,918  

Equity Residential REIT

    39,346       2,360,760  

Essex Property Trust, Inc. REIT

    7,361       1,539,480  

Everest Re Group Ltd.

    4,671       1,672,311  

Extra Space Storage, Inc. REIT

    15,508       2,526,719  

Federal Realty Investment Trust REIT

    8,328       823,056  

Fifth Third Bancorp

    77,136       2,054,903  

First Republic Bank

    20,463       286,277  

Franklin Resources, Inc.

    31,577       850,684  

Globe Life, Inc.

    10,410       1,145,308  

Goldman Sachs Group, Inc.

    39,118       12,795,889  

Hartford Financial Services Group, Inc.

    36,853       2,568,286  

Healthpeak Properties, Inc. REIT

    61,010       1,340,390  

Host Hotels & Resorts, Inc. REIT

    83,118       1,370,616  

Huntington Bancshares, Inc.

    169,115       1,894,088  

Intercontinental Exchange, Inc.

    64,556       6,732,545  

Invesco Ltd.

    50,174       822,854  

Invitation Homes, Inc. REIT

    67,588       2,110,773  

Iron Mountain, Inc. REIT

    33,579       1,776,665  

JPMorgan Chase & Co.

    338,830       44,152,937  

KeyCorp

    103,882       1,300,603  

Kimco Realty Corp. REIT

    74,038       1,445,962  

Lincoln National Corp.

    18,100       406,707  

Loews Corp.

    22,736       1,319,143  

M&T Bank Corp.

    19,815       2,369,280  

Marsh & McLennan Cos., Inc.

    57,180       9,523,329  

Mastercard, Inc. Class A

    97,463       35,419,029  

MetLife, Inc.

    75,462       4,372,268  

Mid-America Apartment Communities, Inc. REIT

    13,739       2,075,139  

Morgan Stanley

    150,583       13,221,187  

Nasdaq, Inc.

    38,864       2,124,695  

Northern Trust Corp.

    23,614       2,081,102  

PNC Financial Services Group, Inc.

    45,984       5,844,566  

Principal Financial Group, Inc.

    25,167       1,870,412  

Progressive Corp.

    67,565       9,665,849  

Prologis, Inc. REIT

    106,630       13,304,225  

Prudential Financial, Inc.

    41,373       3,423,202  

Public Storage REIT

    18,260       5,517,076  

Raymond James Financial, Inc.

    21,934       2,045,784  

Realty Income Corp. REIT

    72,446       4,587,281  

Regency Centers Corp. REIT

    17,121       1,047,463  

Regions Financial Corp.

    108,560       2,014,874  

SBA Communications Corp. REIT

    12,484       3,259,198  

Simon Property Group, Inc. REIT

    37,767       4,228,771  

State Street Corp.

    40,333       3,052,805  

Synchrony Financial

    54,639       1,588,902  

T Rowe Price Group, Inc.

    25,299       2,856,257  

Travelers Cos., Inc.

    27,010       4,629,784  
   

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Value

 

Truist Financial Corp.

    153,973       $5,250,479  

UDR, Inc. REIT

    36,922       1,516,017  

US Bancorp

    160,937       5,801,779  

Ventas, Inc. REIT

    46,222       2,003,724  

VICI Properties, Inc. REIT

    115,942       3,782,028  

Visa, Inc. Class A

    187,707       42,320,420  

W R Berkley Corp.

    23,655       1,472,760  

Wells Fargo & Co.

    440,171       16,453,592  

Welltower, Inc. REIT

    54,583       3,913,055  

Weyerhaeuser Co. REIT

    85,974       2,590,397  

Willis Towers Watson PLC

    12,490       2,902,426  

Zions Bancorp NA

    17,603       526,858  
   

 

 

 
    557,748,547  
   

 

 

 

Industrial - 8.0%

   

3M Co.

    63,591       6,684,050  

Agilent Technologies, Inc.

    34,453       4,766,228  

Allegion PLC

    10,056       1,073,277  

Amcor PLC

    175,394       1,995,984  

AMETEK, Inc.

    26,529       3,855,460  

Amphenol Corp. Class A

    68,686       5,613,020  

AO Smith Corp.

    14,802       1,023,558  

Ball Corp.

    35,791       1,972,442  

Boeing Co. *

    64,960       13,799,453  

Carrier Global Corp.

    95,845       4,384,909  

Caterpillar, Inc.

    60,115       13,756,717  

CH Robinson Worldwide, Inc.

    13,856       1,376,871  

CSX Corp.

    243,524       7,291,109  

Deere & Co.

    31,323       12,932,640  

Dover Corp.

    16,269       2,471,912  

Eaton Corp. PLC

    45,941       7,871,531  

Emerson Electric Co.

    66,488       5,793,764  

Expeditors International of Washington, Inc.

    18,108       1,994,053  

FedEx Corp.

    26,899       6,146,153  

Fortive Corp.

    40,754       2,778,200  

Garmin Ltd.

    17,915       1,807,982  

Generac Holdings, Inc. *

    7,119       768,923  

General Dynamics Corp.

    25,995       5,932,319  

General Electric Co.

    125,830       12,029,348  

Honeywell International, Inc.

    77,181       14,750,833  

Howmet Aerospace, Inc.

    43,244       1,832,248  

Huntington Ingalls Industries, Inc.

    4,604       953,120  

IDEX Corp.

    8,858       2,046,464  

Illinois Tool Works, Inc.

    32,068       7,806,955  

Ingersoll Rand, Inc.

    45,835       2,666,680  

Jacobs Solutions, Inc.

    14,550       1,709,770  

JB Hunt Transport Services, Inc.

    9,458       1,659,501  

Johnson Controls International PLC

    79,929       4,813,324  

Keysight Technologies, Inc. *

    20,360       3,287,733  

L3Harris Technologies, Inc.

    22,119       4,340,633  

Lockheed Martin Corp.

    26,563       12,557,127  

Martin Marietta Materials, Inc.

    7,051       2,503,528  

Masco Corp.

    26,949       1,339,904  

Mettler-Toledo International, Inc. *

    2,573       3,937,230  

Mohawk Industries, Inc. *

    5,906       591,899  

Nordson Corp.

    5,993       1,332,004  

Norfolk Southern Corp.

    26,185       5,551,220  

Northrop Grumman Corp.

    16,619       7,673,325  

Old Dominion Freight Line, Inc.

    10,422       3,552,234  

Otis Worldwide Corp.

    47,924       4,044,786  

Packaging Corp. of America

    10,504       1,458,270  

Parker-Hannifin Corp.

    14,870       4,997,956  

Pentair PLC

    18,808       1,039,518  

Raytheon Technologies Corp.

    169,225       16,572,204  

Republic Services, Inc.

    23,790       3,216,884  

Rockwell Automation, Inc.

    13,259       3,890,854  

Sealed Air Corp.

    16,000       734,560  

Snap-on, Inc.

    6,242       1,541,087  

Stanley Black & Decker, Inc.

    16,912       1,362,769  

TE Connectivity Ltd.

    36,570       4,796,155  

Teledyne Technologies, Inc. *

    5,427       2,427,823  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

89

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

    

Value

 

Textron, Inc.

    24,771       $1,749,576  

Trane Technologies PLC

    26,237       4,827,083  

TransDigm Group, Inc.

    5,992       4,416,404  

Trimble, Inc. *

    28,669       1,502,829  

Union Pacific Corp.

    70,798       14,248,805  

United Parcel Service, Inc. Class B

    84,306       16,354,521  

Vulcan Materials Co.

    15,124       2,594,673  

Waste Management, Inc.

    42,485       6,932,277  

Westinghouse Air Brake Technologies Corp.

    21,313       2,153,892  

Westrock Co.

    31,377       956,057  

Xylem, Inc.

    20,402       2,136,089  
   

 

 

 
    316,980,707  
   

 

 

 

Technology - 25.1%

   

Accenture PLC Class A

    72,745       20,791,249  

Activision Blizzard, Inc.

    82,269       7,041,404  

Adobe, Inc. *

    52,895       20,384,146  

Advanced Micro Devices, Inc. *

    186,252       18,254,559  

Akamai Technologies, Inc. *

    18,882       1,478,461  

Analog Devices, Inc.

    58,372       11,512,126  

ANSYS, Inc. *

    9,838       3,274,086  

Apple, Inc.

    1,718,019       283,301,333  

Applied Materials, Inc.

    97,196       11,938,585  

Autodesk, Inc. *

    25,050       5,214,408  

Broadcom, Inc.

    48,272       30,968,419  

Broadridge Financial Solutions, Inc.

    13,944       2,043,772  

Cadence Design Systems, Inc. *

    31,688       6,657,332  

Ceridian HCM Holding, Inc. *

    17,149       1,255,650  

Cognizant Technology Solutions Corp. Class A

    58,586       3,569,645  

DXC Technology Co. *

    27,250       696,510  

Electronic Arts, Inc.

    29,986       3,611,814  

EPAM Systems, Inc. *

    6,682       1,997,918  

Fair Isaac Corp. *

    2,906       2,042,017  

Fidelity National Information Services, Inc.

    68,619       3,728,070  

Fiserv, Inc. *

    73,356       8,291,429  

Fortinet, Inc. *

    75,410       5,011,749  

Hewlett Packard Enterprise Co.

    147,770       2,353,976  

HP, Inc.

    100,376       2,946,036  

Intel Corp.

    477,888       15,612,601  

International Business Machines Corp.

    104,441       13,691,171  

Intuit, Inc.

    32,451       14,467,629  

Jack Henry & Associates, Inc.

    8,352       1,258,813  

KLA Corp.

    16,007       6,389,514  

Lam Research Corp.

    15,587       8,262,980  

Leidos Holdings, Inc.

    16,405       1,510,244  

Microchip Technology, Inc.

    63,279       5,301,515  

Micron Technology, Inc.

    124,856       7,533,811  

Microsoft Corp.

    859,875       247,901,963  

Monolithic Power Systems, Inc.

    5,170       2,587,792  

MSCI, Inc.

    9,152       5,122,283  

NetApp, Inc.

    25,211       1,609,722  

NVIDIA Corp.

    284,168       78,933,345  

NXP Semiconductors NV (China)

    29,750       5,547,631  

ON Semiconductor Corp. *

    50,019       4,117,564  

Oracle Corp.

    177,532       16,496,273  

Paychex, Inc.

    37,377       4,283,030  

Paycom Software, Inc. *

    5,716       1,737,721  

PTC, Inc. *

    11,906       1,526,706  

Qorvo, Inc. *

    12,111       1,230,114  

QUALCOMM, Inc.

    128,800       16,432,304  

Roper Technologies, Inc.

    12,251       5,398,893  

Salesforce, Inc. *

    115,515       23,077,587  

Seagate Technology Holdings PLC

    21,636       1,430,572  

ServiceNow, Inc. *

    23,450       10,897,684  

Skyworks Solutions, Inc.

    18,644       2,199,619  

Synopsys, Inc. *

    17,607       6,800,704  

Take-Two Interactive Software, Inc. *

    18,803       2,243,198  

Teradyne, Inc.

    18,041       1,939,588  

Texas Instruments, Inc.

    104,681       19,471,713  

Tyler Technologies, Inc. *

    4,946       1,754,049  

Western Digital Corp. *

    37,898       1,427,618  

Zebra Technologies Corp. Class A *

    5,848       1,859,664  
   

 

 

 
    998,420,309  
   

 

 

 
   

Shares

   

    

Value

 

Utilities - 2.9%

   

AES Corp.

    75,668       $1,822,085  

Alliant Energy Corp.

    28,136       1,502,462  

Ameren Corp.

    29,641       2,560,686  

American Electric Power Co., Inc.

    59,359       5,401,075  

American Water Works Co., Inc.

    22,291       3,265,409  

Atmos Energy Corp.

    16,538       1,858,210  

CenterPoint Energy, Inc.

    71,434       2,104,446  

CMS Energy Corp.

    34,342       2,107,912  

Consolidated Edison, Inc.

    41,459       3,966,383  

Constellation Energy Corp.

    37,176       2,918,316  

Dominion Energy, Inc.

    96,256       5,381,673  

DTE Energy Co.

    21,893       2,398,159  

Duke Energy Corp.

    88,947       8,580,717  

Edison International

    43,214       3,050,476  

Entergy Corp.

    23,801       2,564,320  

Evergy, Inc.

    25,703       1,570,967  

Eversource Energy

    40,278       3,152,156  

Exelon Corp.

    114,793       4,808,679  

FirstEnergy Corp.

    62,744       2,513,525  

NextEra Energy, Inc.

    229,548       17,693,560  

NiSource, Inc.

    46,075       1,288,257  

NRG Energy, Inc.

    27,231       933,751  

PG&E Corp. *

    186,482       3,015,414  

Pinnacle West Capital Corp.

    13,040       1,033,290  

PPL Corp.

    86,766       2,411,227  

Public Service Enterprise Group, Inc.

    57,772       3,607,861  

Sempra Energy

    36,419       5,505,096  

Southern Co.

    125,759       8,750,311  

WEC Energy Group, Inc.

    35,918       3,404,667  

Xcel Energy, Inc.

    63,216       4,263,287  
   

 

 

 
    113,434,377  
   

 

 

 

Total Common Stocks
(Cost $2,360,374,626)

      3,967,057,916  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 0.2%

   

Repurchase Agreement - 0.2%

   

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $9,608,410; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $9,796,989)

    $9,604,848       9,604,848  
   

 

 

 

Total Short-Term Investment
(Cost $9,604,848)

      9,604,848  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $2,369,979,474)

      3,976,662,764  
   

 

 

 

DERIVATIVES - 0.0%

      579,257  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    1,286,058  
   

 

 

 

NET ASSETS - 100.0%

      $3,978,528,079  
   

 

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

90

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding   

Expiration

Month

   Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

S&P 500 E-Mini Index

   06/23      58        $11,420,218        $11,999,475        $579,257  
              

 

 

 

 

(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $3,967,057,916        $3,967,057,916        $-        $-  
 

Short-Term Investment

     9,604,848        -        9,604,848        -  
 

Derivatives:

           
 

Equity Contracts Futures

     579,257        579,257        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $3,977,242,021        $3,967,637,173        $9,604,848        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

91

PACIFIC SELECT FUND

FOCUSED GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 98.0%

 

Basic Materials - 3.9%

 

Freeport-McMoRan, Inc.

    278,277       $11,384,312  

Linde PLC

    52,051       18,501,007  

Sherwin-Williams Co.

    48,005       10,790,084  
   

 

 

 
    40,675,403  
   

 

 

 

Communications - 12.2%

   

Alphabet, Inc. Class C *

    216,346       22,499,984  

Amazon.com, Inc. *

    548,226       56,626,263  

Booking Holdings, Inc. *

    10,043       26,638,154  

Meta Platforms, Inc. Class A *

    98,707       20,919,962  
   

 

 

 
    126,684,363  
   

 

 

 

Consumer, Cyclical - 9.7%

   

Caesars Entertainment, Inc. *

    216,740       10,579,079  

Core & Main, Inc. Class A *

    1,231,121       28,438,895  

LVMH Moet Hennessy Louis Vuitton SE (France)

    24,059       22,083,956  

NIKE, Inc. Class B

    109,557       13,436,071  

Rivian Automotive, Inc. Class A *

    192,099       2,973,693  

TJX Cos., Inc.

    305,448       23,934,905  
   

 

 

 
    101,446,599  
   

 

 

 

Consumer, Non-Cyclical - 15.6%

   

AbbVie, Inc.

    203,998       32,511,161  

Apellis Pharmaceuticals, Inc. *

    122,123       8,055,233  

Argenx SE ADR * (Netherlands)

    15,294       5,698,239  

CoStar Group, Inc. *

    420,851       28,975,591  

Danaher Corp.

    82,941       20,904,450  

Horizon Therapeutics PLC *

    280,396       30,602,419  

Illumina, Inc. *

    82,639       19,217,699  

Teleflex, Inc.

    63,370       16,052,255  
   

 

 

 
    162,017,047  
   

 

 

 

Financial - 10.2%

   

American Tower Corp. REIT

    129,558       26,473,882  

Charles Schwab Corp.

    176,313       9,235,275  

Cullen/Frost Bankers, Inc.

    126,584       13,334,358  

Mastercard, Inc. Class A

    85,190       30,958,898  

Visa, Inc. Class A

    114,280       25,765,569  
   

 

 

 
    105,767,982  
   

 

 

 

Industrial - 8.8%

   

Crown Holdings, Inc.

    334,083       27,632,005  

Deere & Co.

    82,547       34,082,005  

Howmet Aerospace, Inc.

    709,003       30,040,457  
   

 

 

 
    91,754,467  
   

 

 

 

Technology - 37.6%

   

Advanced Micro Devices, Inc. *

    445,417       43,655,320  

Apple, Inc.

    523,174       86,271,393  

ASML Holding NV (Netherlands)

    44,584       30,348,775  

Atlassian Corp. Class A *

    81,257       13,908,761  

Microsoft Corp.

    424,658       122,428,901  

NVIDIA Corp.

    127,159       35,320,955  

Texas Instruments, Inc.

    137,367       25,551,636  

Workday, Inc. Class A *

    165,111       34,102,026  
   

 

 

 
    391,587,767  
   

 

 

 

Total Common Stocks
(Cost $977,499,132)

 

    1,019,933,628  
   

 

 

 
   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 2.1%

   

U.S. Government Agency Issue - 2.1%

 

 

Federal Home Loan Mortgage Corp.
0.000% due 04/03/23

    $21,800,000       $21,800,000  
   

 

 

 

Total U.S. Government Agency Issue
(Cost $21,795,277)

 

    21,800,000  
   

 

 

 

TOTAL INVESTMENTS - 100.1%
(Cost $999,294,409)

 

    1,041,733,628  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.1%)

 

    (1,001,418
   

 

 

 

NET ASSETS - 100.0%

 

    $1,040,732,210  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

92

PACIFIC SELECT FUND

FOCUSED GROWTH PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

  Common Stocks            
 

Basic Materials

     $40,675,403        $40,675,403        $-        $-  
 

Communications

     126,684,363        126,684,363        -        -  
 

Consumer, Cyclical

     101,446,599        79,362,643        22,083,956        -  
 

Consumer, Non-Cyclical

     162,017,047        162,017,047        -        -  
 

Financial

     105,767,982        105,767,982        -        -  
 

Industrial

     91,754,467        91,754,467        -        -  
 

Technology

     391,587,767        391,587,767        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     1,019,933,628        997,849,672        22,083,956        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
  Short-Term Investment      21,800,000        -        21,800,000        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,041,733,628        $997,849,672        $43,883,956        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

93

PACIFIC SELECT FUND

GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.3%

 

Basic Materials - 3.5%

 

Air Products & Chemicals, Inc.

    60,747       $17,447,146  

Linde PLC

    48,157       17,116,924  

Sherwin-Williams Co.

    58,973       13,255,361  
   

 

 

 
    47,819,431  
   

 

 

 

Communications - 11.5%

   

Alphabet, Inc. Class A *

    662,717       68,743,635  

Alphabet, Inc. Class C *

    181,282       18,853,328  

Amazon.com, Inc. *

    645,286       66,651,591  

Match Group, Inc. *

    102,934       3,951,636  
   

 

 

 
    158,200,190  
   

 

 

 

Consumer, Cyclical - 4.6%

   

Chipotle Mexican Grill, Inc. *

    4,209       7,190,193  

Dollar Tree, Inc. *

    37,408       5,369,918  

Hilton Worldwide Holdings, Inc.

    115,581       16,281,895  

Lululemon Athletica, Inc. *

    10,033       3,653,918  

LVMH Moet Hennessy Louis Vuitton SE

    21,272       19,525,746  

O’Reilly Automotive, Inc. *

    13,497       11,458,683  
   

 

 

 
    63,480,353  
   

 

 

 

Consumer, Non-Cyclical - 20.0%

   

Abbott Laboratories

    139,962       14,172,552  

Becton Dickinson & Co.

    43,813       10,845,470  

Block, Inc. *

    56,666       3,890,121  

Boston Scientific Corp. *

    558,261       27,929,798  

Colgate-Palmolive Co.

    105,358       7,917,654  

CoStar Group, Inc. *

    212,939       14,660,850  

Danaher Corp.

    70,871       17,862,327  

Equifax, Inc.

    43,126       8,747,678  

Estee Lauder Cos., Inc. Class A

    80,903       19,939,353  

Gartner, Inc. *

    31,339       10,209,306  

ICON PLC *

    54,767       11,697,683  

Regeneron Pharmaceuticals, Inc. *

    15,643       12,853,384  

STERIS PLC

    32,642       6,243,762  

Thermo Fisher Scientific, Inc.

    51,102       29,453,660  

TransUnion

    51,453       3,197,289  

UnitedHealth Group, Inc.

    40,435       19,109,177  

Verisk Analytics, Inc.

    110,790       21,256,169  

Vertex Pharmaceuticals, Inc. *

    72,240       22,760,657  

Zoetis, Inc.

    81,568       13,576,178  
   

 

 

 
    276,323,068  
   

 

 

 

Energy - 1.4%

   

Enphase Energy, Inc. *

    10,540       2,216,351  

EOG Resources, Inc.

    56,496       6,476,136  

Hess Corp.

    77,179       10,213,869  
   

 

 

 
    18,906,356  
   

 

 

 

Financial - 11.8%

   

American Express Co.

    25,670       4,234,267  

American Tower Corp. REIT

    75,785       15,485,907  

Aon PLC Class A

    75,170       23,700,349  

Arthur J Gallagher & Co.

    34,994       6,694,702  

CME Group, Inc.

    57,866       11,082,496  

Mastercard, Inc. Class A

    147,216       53,499,767  

Visa, Inc. Class A

    214,794       48,427,455  
   

 

 

 
    163,124,943  
   

 

 

 

Industrial - 8.8%

   

Agilent Technologies, Inc.

    33,573       4,644,489  

AMETEK, Inc.

    121,490       17,656,142  

Amphenol Corp. Class A

    121,242       9,907,896  
   

Shares

   

Value

 

Canadian Pacific Railway Ltd. (NYSE)

    163,649     $ 12,591,154  

Caterpillar, Inc.

    19,134       4,378,625  

Eaton Corp. PLC

    78,405       13,433,913  

Howmet Aerospace, Inc.

    159,317       6,750,261  

Johnson Controls International PLC

    252,910       15,230,240  

Martin Marietta Materials, Inc.

    13,358       4,742,891  

Rockwell Automation, Inc.

    34,591       10,150,729  

Vulcan Materials Co.

    132,187       22,678,002  
   

 

 

 
    122,164,342  
   

 

 

 

Technology - 36.7%

   

Accenture PLC Class A

    14,191       4,055,930  

Adobe, Inc. *

    62,278       24,000,073  

Advanced Micro Devices, Inc. *

    107,024       10,489,422  

Apple, Inc.

    447,987       73,873,056  

Applied Materials, Inc.

    59,738       7,337,619  

ASML Holding NV

    29,623       20,164,672  

Autodesk, Inc. *

    18,381       3,826,189  

Black Knight, Inc. *

    41,861       2,409,519  

Cadence Design Systems, Inc. *

    78,052       16,397,945  

Electronic Arts, Inc.

    90,035       10,844,716  

Intuit, Inc.

    68,242       30,424,331  

KLA Corp.

    14,096       5,626,700  

Lam Research Corp.

    22,903       12,141,338  

Microsoft Corp.

    574,390       165,596,637  

MSCI, Inc.

    56,704       31,736,662  

NVIDIA Corp.

    197,603       54,888,185  

ServiceNow, Inc. *

    32,277       14,999,767  

Synopsys, Inc. *

    24,663       9,526,084  

Take-Two Interactive Software, Inc. *

    45,580       5,437,694  

Veeva Systems, Inc. Class A *

    12,292       2,259,147  
   

 

 

 
    506,035,686  
   

 

 

 

Total Common Stocks
(Cost $1,064,020,687)

      1,356,054,369  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 1.8%

   

Repurchase Agreement - 1.8%

   

Fixed Income Clearing Corp. 4.450% due 04/03/23 (Dated 03/31/23, repurchase price of $24,713,419; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $25,198,386)

    $24,704,258       24,704,258  
   

 

 

 

Total Short-Term Investment
(Cost $24,704,258)

      24,704,258  
   

 

 

 

TOTAL INVESTMENTS - 100.1%
(Cost $1,088,724,945)

      1,380,758,627  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.1%)

 

    (1,321,896
   

 

 

 

NET ASSETS - 100.0%

      $1,379,436,731  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

94

PACIFIC SELECT FUND

GROWTH PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $47,819,431        $47,819,431        $-        $-  
 

Communications

     158,200,190        158,200,190        -        -  
 

Consumer, Cyclical

     63,480,353        43,954,607        19,525,746        -  
 

Consumer, Non-Cyclical

     276,323,068        276,323,068        -        -  
 

Energy

     18,906,356        18,906,356        -        -  
 

Financial

     163,124,943        163,124,943        -        -  
 

Industrial

     122,164,342        122,164,342        -        -  
 

Technology

     506,035,686        506,035,686        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     1,356,054,369        1,336,528,623        19,525,746        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investment

     24,704,258        24,704,258        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,380,758,627        $1,361,232,881        $19,525,746        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

95

PACIFIC SELECT FUND

HEDGED EQUITY PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.6%

 

Basic Materials - 2.5%

 

Air Products & Chemicals, Inc.

    980       $281,466  

Celanese Corp.

    996       108,454  

Dow, Inc.

    9,351       512,622  

DuPont de Nemours, Inc. ‡

    2,194       157,463  

Eastman Chemical Co. ‡

    5,190       437,725  

Freeport-McMoRan, Inc.

    5,456       223,205  

Linde PLC

    3,109       1,105,063  

LyondellBasell Industries NV Class A

    2,592       243,363  

Nucor Corp.

    1,678       259,201  

PPG Industries, Inc. ‡

    4,740       633,169  
   

 

 

 
    3,961,731  
   

 

 

 

Communications - 12.0%

 

Alphabet, Inc. Class A * ‡

    30,886       3,203,805  

Alphabet, Inc. Class C * ‡

    23,160       2,408,640  

Amazon.com, Inc. * ‡

    47,915       4,949,140  

AT&T, Inc.

    2,365       45,526  

Booking Holdings, Inc. * ‡

    380       1,007,916  

Charter Communications, Inc. Class A * ‡

    2,417       864,343  

Comcast Corp. Class A ‡

    33,160       1,257,096  

Corning, Inc.

    5,806       204,836  

Expedia Group, Inc. *

    4,722       458,176  

Meta Platforms, Inc. Class A * ‡

    12,536       2,656,880  

Motorola Solutions, Inc.

    1,312       375,403  

Netflix, Inc. * ‡

    2,778       959,743  

T-Mobile US, Inc. * ‡

    3,436       497,670  

Uber Technologies, Inc. *

    5,133       162,716  
   

 

 

 
    19,051,890  
   

 

 

 

Consumer, Cyclical - 8.7%

 

Aptiv PLC *

    1,994       223,707  

AutoNation, Inc. *

    1,978       265,764  

AutoZone, Inc. *

    329       808,731  

Best Buy Co., Inc. ‡

    6,666       521,748  

Burlington Stores, Inc. *

    1,370       276,877  

Chipotle Mexican Grill, Inc. *

    548       936,143  

Costco Wholesale Corp. ‡

    2,416       1,200,438  

Domino’s Pizza, Inc.

    588       193,964  

Home Depot, Inc. ‡

    2,557       754,622  

Lennar Corp. Class A ‡

    3,420       359,476  

LKQ Corp.

    1,682       95,470  

Lowe’s Cos., Inc. ‡

    7,883       1,576,364  

Magna International, Inc. (Canada)

    1,178       63,106  

Marriott International, Inc. Class A

    2,997       497,622  

McDonald’s Corp. ‡

    2,674       747,677  

NIKE, Inc. Class B ‡

    6,994       857,744  

O’Reilly Automotive, Inc. *

    492       417,698  

Royal Caribbean Cruises Ltd. *

    954       62,296  

Southwest Airlines Co.

    4,175       135,855  

Tesla, Inc. * ‡

    11,742       2,435,995  

TJX Cos., Inc. ‡

    6,004       470,473  

Toll Brothers, Inc.

    3,303       198,279  

Whirlpool Corp.

    320       42,246  

Yum! Brands, Inc.

    5,580       737,006  
   

 

 

 
    13,879,301  
   

 

 

 

Consumer, Non-Cyclical - 20.2%

 

Abbott Laboratories ‡

    8,883       899,493  

AbbVie, Inc. ‡

    13,686       2,181,138  

Altria Group, Inc. ‡

    5,663       252,683  

Avery Dennison Corp.

    636       113,799  

Baxter International, Inc.

    9,823       398,421  

Biogen, Inc. *

    1,869       519,638  

BioMarin Pharmaceutical, Inc. *

    1,417       137,789  
   

Shares

   

Value

 

Booz Allen Hamilton Holding Corp.

    1,312       $121,609  

Boston Scientific Corp. * ‡

    15,419       771,413  

Bristol-Myers Squibb Co. ‡

    21,478       1,488,640  

Centene Corp. * ‡

    7,168       453,089  

Cintas Corp.

    619       286,399  

Coca-Cola Co.

    31,272       1,939,802  

Colgate-Palmolive Co. ‡

    12,235       919,460  

Constellation Brands, Inc. Class A ‡

    2,276       514,126  

CVS Health Corp.

    3,431       254,958  

Danaher Corp. ‡

    3,358       846,350  

Dexcom, Inc. *

    1,792       208,195  

Elevance Health, Inc. ‡

    1,869       859,385  

Eli Lilly & Co. ‡

    4,180       1,435,496  

FleetCor Technologies, Inc. *

    2,761       582,157  

Humana, Inc.

    904       438,856  

Intuitive Surgical, Inc. * ‡

    2,833       723,747  

Johnson & Johnson ‡

    8,324       1,290,220  

Kimberly-Clark Corp. ‡

    3,385       454,335  

McKesson Corp.

    934       332,551  

Medtronic PLC

    6,715       541,363  

Merck & Co., Inc. ‡

    9,815       1,044,218  

Mondelez International, Inc. Class A ‡

    6,451       449,764  

Monster Beverage Corp. *

    3,545       191,465  

Neurocrine Biosciences, Inc. *

    1,311       132,699  

PepsiCo, Inc. ‡

    7,571       1,380,193  

Pfizer, Inc. ‡

    9,928       405,062  

Philip Morris International, Inc. ‡

    5,046       490,724  

Procter & Gamble Co. ‡

    8,457       1,257,471  

Regeneron Pharmaceuticals, Inc. * ‡

    1,254       1,030,374  

ResMed, Inc.

    215       47,083  

S&P Global, Inc. ‡

    2,177       750,564  

Sarepta Therapeutics, Inc. *

    1,438       198,200  

Stryker Corp.

    1,172       334,571  

Thermo Fisher Scientific, Inc.

    3,198       1,843,231  

UnitedHealth Group, Inc. ‡

    5,390       2,547,260  

Vertex Pharmaceuticals, Inc. * ‡

    3,021       951,826  
   

 

 

 
    32,019,817  
   

 

 

 

Energy - 4.5%

 

Baker Hughes Co.

    8,084       233,304  

Chevron Corp. ‡

    4,082       666,019  

ConocoPhillips ‡

    12,613       1,251,336  

Diamondback Energy, Inc. ‡

    6,583       889,824  

EOG Resources, Inc. ‡

    9,608       1,101,365  

Exxon Mobil Corp. ‡

    23,987       2,630,415  

Marathon Oil Corp.

    13,391       320,848  

Phillips 66

    1,072       108,679  
   

 

 

 
    7,201,790  
   

 

 

 

Financial - 14.6%

 

American Express Co. ‡

    3,802       627,140  

Bank of America Corp.

    44,685       1,277,991  

Berkshire Hathaway, Inc. Class B * ‡

    7,166       2,212,646  

Capital One Financial Corp. ‡

    1,694       162,895  

Charles Schwab Corp.

    3,188       166,987  

Citigroup, Inc. ‡

    11,335       531,498  

CME Group, Inc.

    5,365       1,027,505  

Equinix, Inc. REIT

    667       480,934  

Equity LifeStyle Properties, Inc. REIT

    4,630       310,812  

Fifth Third Bancorp

    12,369       329,510  

Globe Life, Inc.

    2,844       312,897  

Goldman Sachs Group, Inc.

    577       188,742  

Host Hotels & Resorts, Inc. REIT

    3,988       65,762  

Intercontinental Exchange, Inc. ‡

    6,847       714,074  

M&T Bank Corp.

    1,316       157,354  

Mastercard, Inc. Class A ‡

    6,805       2,473,005  

MetLife, Inc.

    1,522       88,185  

Morgan Stanley ‡

    7,662       672,724  

Progressive Corp. ‡

    10,602       1,516,722  

Prologis, Inc. REIT

    9,266       1,156,119  

Prudential Financial, Inc.

    1,717       142,064  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

96

PACIFIC SELECT FUND

HEDGED EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Raymond James Financial, Inc.

    6,015       $561,019  

SBA Communications Corp. REIT

    2,557       667,556  

State Street Corp. ‡

    4,333       327,965  

Sun Communities, Inc. REIT ‡

    2,726       384,039  

Travelers Cos., Inc. ‡

    5,368       920,129  

Truist Financial Corp. ‡

    19,494       664,745  

UDR, Inc. REIT

    9,078       372,743  

US Bancorp

    27,703       998,693  

Ventas, Inc. REIT

    11,406       494,450  

Visa, Inc. Class A ‡

    8,253       1,860,721  

Wells Fargo & Co. ‡

    36,440       1,362,127  
   

 

 

 
    23,229,753  
   

 

 

 

Industrial - 8.1%

 

CSX Corp.

    9,937       297,514  

Deere & Co. ‡

    2,967       1,225,015  

Dover Corp.

    2,431       369,366  

Eaton Corp. PLC

    5,705       977,495  

FedEx Corp.

    1,172       267,790  

General Dynamics Corp.

    743       169,560  

Honeywell International, Inc. ‡

    9,349       1,786,781  

Howmet Aerospace, Inc.

    2,045       86,646  

Masco Corp. ‡

    6,971       346,598  

Norfolk Southern Corp. ‡

    2,525       535,300  

Otis Worldwide Corp.

    7,088       598,227  

Parker-Hannifin Corp. ‡

    2,446       822,125  

Raytheon Technologies Corp. ‡

    14,631       1,432,814  

Textron, Inc.

    9,049       639,131  

Trane Technologies PLC

    5,714       1,051,262  

Union Pacific Corp. ‡

    2,816       566,748  

United Parcel Service, Inc. Class B ‡

    8,317       1,613,415  
   

 

 

 
    12,785,787  
   

 

 

 

Technology - 25.1%

 

Accenture PLC Class A

    4,841       1,383,606  

Adobe, Inc. * ‡

    3,683       1,419,318  

Advanced Micro Devices, Inc. * ‡

    12,904       1,264,721  

Analog Devices, Inc. ‡

    7,840       1,546,205  

Apple, Inc. ‡

    68,097       11,229,195  

Broadcom, Inc.

    483       309,864  

Cadence Design Systems, Inc. *

    1,259       264,503  

Cognizant Technology Solutions Corp. Class A

    8,898       542,155  

DocuSign, Inc. *

    1,208       70,427  

Intuit, Inc. ‡

    2,304       1,027,192  

Lam Research Corp. ‡

    2,450       1,298,794  

Leidos Holdings, Inc. ‡

    3,966       365,110  

Microsoft Corp. ‡

    35,768       10,311,915  

NVIDIA Corp. ‡

    9,613       2,670,203  

NXP Semiconductors NV (China)

    7,310       1,363,132  

Oracle Corp. ‡

    6,966       647,281  

Qorvo, Inc. *

    1,742       176,935  

QUALCOMM, Inc.

    535       68,255  

Salesforce, Inc. * ‡

    2,323       464,089  

Seagate Technology Holdings PLC

    8,650       571,938  

Teradyne, Inc.

    3,861       415,096  

Texas Instruments, Inc. ‡

    10,183       1,894,140  

Workday, Inc. Class A * ‡

    2,219       458,312  
   

 

 

 
    39,762,386  
   

 

 

 

Utilities - 2.9%

 

Ameren Corp.

    4,536       391,865  

CenterPoint Energy, Inc. ‡

    15,097       444,758  

CMS Energy Corp.

    3,038       186,473  

Dominion Energy, Inc.

    4,724       264,119  

NextEra Energy, Inc. ‡

    20,392       1,571,815  

PG&E Corp. *

    36,826       595,476  

Public Service Enterprise Group, Inc.

    9,223       575,976  
   

Shares

   

Value

 

Sempra Energy

    3,341       $505,026  
   

 

 

 
    4,535,508  
   

 

 

 

Total Common Stocks
(Cost $153,522,056)

      156,427,963  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 1.2%

 

Repurchase Agreement - 1.2%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $1,941,470; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $1,979,597)

    $1,940,750       1,940,750  
   

 

 

 

Total Short-Term Investment
(Cost $1,940,750)

      1,940,750  
   

 

 

 

TOTAL INVESTMENTS - 99.8%
(Cost $155,462,806)

      158,368,713  
   

 

 

 

DERIVATIVES - 0.0%

      10,324  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.2%

      350,732  
   

 

 

 

NET ASSETS - 100.0%

      $158,729,769  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

97

PACIFIC SELECT FUND

HEDGED EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding   

Expiration

Month

   Number of
Contracts
   Notional
Amount
   Value      Unrealized
Appreciation
(Depreciation)
 

S&P 500 E-Mini Index

   06/23    10    $2,035,659      $2,068,875        $33,216  
                    

 

 

 

 

(b)

Purchased options outstanding as of March 31, 2023 were as follows:

 

Options on Indices

                                                
Description    Exercise
Price
     Expiration
Date
     Exchange      Number of
Contracts
     Notional
Amount
     Cost      Value  

Put – S&P 500 Index

     $3,885.00        06/30/23        CBOE        388        $150,738,000        $2,716,388        $2,716,000  
                 

 

 

    

 

 

 

Total Purchased Options

                    $2,716,388        $2,716,000  
                 

 

 

    

 

 

 

 

(c)

Premiums received and value of written options outstanding as of March 31, 2023 were as follows:

 

Options on Indices

                                              
Description    Exercise
Price
     Expiration
Date
     Exchange    Number of
Contracts
     Notional
Amount
     Premium      Value  

Call - S&P 500 Index

     $4,320.00        06/30/23      CBOE      388        $167,616,000        $2,244,804        ($2,244,192
                 

 

 

    

 

 

 

Put - S&P 500 Index

     3,280.00        06/30/23      CBOE      388        127,264,000        494,312        (494,700
                 

 

 

    

 

 

 

Total Written Options

 

     $2,739,116        ($2,738,892
                 

 

 

    

 

 

 

 

(d)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $156,427,963        $156,427,963        $-        $-  
 

Short-Term Investment

     1,940,750        -        1,940,750        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     33,216        33,216        -        -  
 

Purchased Options

     2,716,000        -        2,716,000        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     161,117,929        156,461,179        4,656,750        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives

           
 

Equity Contracts

           
 

Written Options

     (2,738,892      -        (2,738,892      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (2,738,892      -        (2,738,892      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $158,379,037        $156,461,179        $1,917,858        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

98

PACIFIC SELECT FUND

LARGE-CAP CORE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 99.6%

 

Basic Materials - 2.7%

 

Eastman Chemical Co.

    132,958       $11,213,678  

PPG Industries, Inc.

    174,872       23,359,402  
   

 

 

 
    34,573,080  
   

 

 

 

Communications - 10.5%

 

Alphabet, Inc. Class A *

    504,385       52,319,856  

Amazon.com, Inc. *

    455,119       47,009,241  

Meta Platforms, Inc. Class A *

    60,963       12,920,498  

Uber Technologies, Inc. *

    345,541       10,953,650  

Verizon Communications, Inc.

    301,094       11,709,546  
   

 

 

 
    134,912,791  
   

 

 

 

Consumer, Cyclical - 8.8%

 

Dollar General Corp.

    51,298       10,796,177  

Lowe’s Cos., Inc.

    150,782       30,151,877  

McDonald’s Corp.

    106,484       29,773,991  

NIKE, Inc. Class B

    129,405       15,870,229  

Tesla, Inc. *

    67,750       14,055,415  

TJX Cos., Inc.

    150,409       11,786,049  
   

 

 

 
    112,433,738  
   

 

 

 

Consumer, Non-Cyclical - 19.4%

 

AbbVie, Inc.

    274,018       43,670,249  

Biogen, Inc. *

    42,891       11,924,985  

Boston Scientific Corp. *

    231,786       11,596,254  

Bristol-Myers Squibb Co.

    463,204       32,104,669  

Coca-Cola Co.

    553,586       34,338,939  

Regeneron Pharmaceuticals, Inc. *

    35,998       29,578,477  

S&P Global, Inc.

    74,588       25,715,705  

UnitedHealth Group, Inc.

    90,638       42,834,612  

Vertex Pharmaceuticals, Inc. *

    56,548       17,816,578  
   

 

 

 
    249,580,468  
   

 

 

 

Energy - 5.2%

 

Baker Hughes Co.

    932,155       26,901,993  

ConocoPhillips

    182,626       18,118,325  

Pioneer Natural Resources Co.

    109,244       22,311,995  
   

 

 

 
    67,332,313  
   

 

 

 

Financial - 13.7%

 

American Express Co.

    84,979       14,017,286  

Ameriprise Financial, Inc.

    46,200       14,160,300  

Mastercard, Inc. Class A

    83,816       30,459,573  

Morgan Stanley

    335,255       29,435,389  

Progressive Corp.

    110,935       15,870,361  

Prologis, Inc. REIT

    256,690       32,027,211  

Truist Financial Corp.

    236,011       8,047,975  

US Bancorp

    215,293       7,761,313  

Wells Fargo & Co.

    651,956       24,370,115  
   

 

 

 
    176,149,523  
   

 

 

 

Industrial - 9.8%

 

Deere & Co.

    65,963       27,234,803  

Eaton Corp. PLC

    153,896       26,368,541  

Norfolk Southern Corp.

    90,511       19,188,332  

Northrop Grumman Corp.

    52,315       24,154,882  

Trane Technologies PLC

    93,058       17,120,811  

Vulcan Materials Co.

    71,585       12,281,122  
   

 

 

 
      126,348,491  
   

 

 

 
   

Shares

   

Value

 

Technology - 24.7%

 

 

Advanced Micro Devices, Inc. *

    92,373       $9,053,478  

Apple, Inc.

    437,289       72,108,956  

ASML Holding NV (Netherlands)

    6,689       4,553,269  

Intuit, Inc.

    36,666       16,346,803  

Leidos Holdings, Inc.

    67,390       6,203,923  

Microsoft Corp.

    403,947       116,457,920  

NVIDIA Corp.

    109,694       30,469,702  

NXP Semiconductors NV (China)

    203,663       37,978,058  

Oracle Corp.

    183,611       17,061,134  

Teradyne, Inc.

    65,695       7,062,870  
   

 

 

 
    317,296,113  
   

 

 

 

Utilities - 4.8%

 

NextEra Energy, Inc.

    540,292       41,645,708  

PG&E Corp. *

    829,248       13,408,940  

Xcel Energy, Inc.

    99,164       6,687,620  
   

 

 

 
      61,742,268  
   

 

 

 

Total Common Stocks
(Cost $1,216,229,067)

      1,280,368,785  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 0.2%

   

Repurchase Agreement - 0.2%

   

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $2,644,027; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $2,695,941)

    $2,643,047       2,643,047  
   

 

 

 

Total Short-Term Investment
(Cost $2,643,047)

      2,643,047  
   

 

 

 

TOTAL INVESTMENTS - 99.8%
(Cost $1,218,872,114)

 

    1,283,011,832  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.2%

 

    3,067,424  
   

 

 

 

NET ASSETS - 100.0%

 

    $1,286,079,256  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

99

PACIFIC SELECT FUND

LARGE-CAP CORE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $1,280,368,785        $1,280,368,785        $-        $-  
 

Short-Term Investment

     2,643,047        -        2,643,047        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,283,011,832        $1,280,368,785        $2,643,047        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

100

PACIFIC SELECT FUND

LARGE-CAP GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    
Shares

   

    
Value

 

COMMON STOCKS - 99.9%

 

Basic Materials - 1.1%

 

Sherwin-Williams Co.

    47,648       $10,709,841  
   

 

 

 

Communications - 15.3%

 

Alphabet, Inc. Class A *

    444,288       46,085,994  

Amazon.com, Inc. *

    632,047       65,284,135  

Match Group, Inc. *

    365,560       14,033,848  

Netflix, Inc. *

    41,967       14,498,759  

Palo Alto Networks, Inc. *

    24,852       4,963,939  
   

 

 

 
    144,866,675  
   

 

 

 

Consumer, Cyclical - 11.1%

 

Chipotle Mexican Grill, Inc. *

    7,932       13,550,156  

Evolution AB ~ (Sweden)

    147,536       19,766,630  

LVMH Moet Hennessy Louis Vuitton SE (France)

    20,758       19,053,941  

NIKE, Inc. Class B

    178,886       21,938,579  

Ross Stores, Inc.

    45,851       4,866,167  

Tesla, Inc. *

    124,201       25,766,739  
   

 

 

 
    104,942,212  
   

 

 

 

Consumer, Non-Cyclical - 19.2%

 

Adyen NV * ~ (Netherlands)

    4,070       6,485,251  

AstraZeneca PLC ADR (United Kingdom)

    85,915       5,963,360  

Boston Scientific Corp. *

    282,795       14,148,234  

Cintas Corp.

    24,280       11,233,870  

Danaher Corp.

    77,244       19,468,578  

Eli Lilly & Co.

    16,402       5,632,775  

IDEXX Laboratories, Inc. *

    28,934       14,469,315  

Intuitive Surgical, Inc. *

    68,657       17,539,804  

Lonza Group AG (Switzerland)

    18,577       11,183,343  

S&P Global, Inc.

    55,067       18,985,449  

Thermo Fisher Scientific, Inc.

    22,549       12,996,567  

UnitedHealth Group, Inc.

    61,216       28,930,069  

Zoetis, Inc.

    93,790       15,610,408  
   

 

 

 
    182,647,023  
   

 

 

 

Energy - 1.4%

 

Cheniere Energy, Inc.

    73,801       11,631,038  

EQT Corp.

    58,627       1,870,787  
   

 

 

 
    13,501,825  
   

 

 

 

Financial - 8.3%

 

Blackstone, Inc.

    134,304       11,797,264  

Mastercard, Inc. Class A

    65,013       23,626,374  

Visa, Inc. Class A

    190,854       43,029,943  
   

 

 

 
    78,453,581  
   

 

 

 

Industrial - 3.5%

 

TransDigm Group, Inc.

    31,670       23,342,374  

Waste Connections, Inc.

    69,016       9,598,055  
   

 

 

 
    32,940,429  
   

 

 

 

Technology - 40.0%

 

Advanced Micro Devices, Inc. *

    226,465       22,195,835  

Apple, Inc.

    499,577       82,380,247  

ASML Holding NV (Netherlands)

    47,943       32,635,279  

BILL Holdings, Inc. *

    37,873       3,073,015  

Cadence Design Systems, Inc. *

    95,296       20,020,737  

Intuit, Inc.

    89,546       39,922,293  

KLA Corp.

    46,538       18,576,573  

Microsoft Corp.

    285,056       82,181,645  

MongoDB, Inc. *

    8,214       1,914,848  

MSCI, Inc.

    27,922       15,627,664  
   

    
Shares

   

    
Value

 

NVIDIA Corp.

    149,553       $ 41,541,337  

ServiceNow, Inc. *

    41,129       19,113,469  
   

 

 

 
    379,182,942  
   

 

 

 

Total Common Stocks
(Cost $815,181,569)

      947,244,528  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 0.2%

 

Repurchase Agreement - 0.2%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $1,535,554; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $1,565,760)

    $1,534,985       1,534,985  
   

 

 

 

Total Short-Term Investment
(Cost $1,534,985)

      1,534,985  
   

 

 

 

TOTAL INVESTMENTS - 100.1%
(Cost $816,716,554)

      948,779,513  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.1%)

 

    (1,030,735
   

 

 

 

NET ASSETS - 100.0%

      $947,748,778  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

101

PACIFIC SELECT FUND

LARGE-CAP GROWTH PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $10,709,841        $10,709,841        $-        $-  
 

Communications

     144,866,675        144,866,675        -        -  
 

Consumer, Cyclical

     104,942,212        66,121,641        38,820,571        -  
 

Consumer, Non-Cyclical

     182,647,023        164,978,429        17,668,594        -  
 

Energy

     13,501,825        13,501,825        -        -  
 

Financial

     78,453,581        78,453,581        -        -  
 

Industrial

     32,940,429        32,940,429        -        -  
 

Technology

     379,182,942        379,182,942        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     947,244,528        890,755,363        56,489,165        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investment

     1,534,985        -        1,534,985        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $948,779,513        $890,755,363        $58,024,150        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

102

PACIFIC SELECT FUND

LARGE-CAP VALUE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 97.6%

 

Basic Materials - 3.8%

 

Air Products & Chemicals, Inc.

    91,316       $26,226,868  

PPG Industries, Inc.

    139,795       18,673,816  
   

 

 

 
    44,900,684  
   

 

 

 

Communications - 13.6%

 

Alphabet, Inc. Class A *

    126,187       13,089,378  

Charter Communications, Inc. Class A *

    62,737       22,435,379  

Cisco Systems, Inc.

    578,132       30,221,850  

Comcast Corp. Class A

    490,577       18,597,774  

DISH Network Corp. Class A *

    815,304       7,606,786  

Meta Platforms, Inc. Class A *

    154,644       32,775,249  

Motorola Solutions, Inc.

    121,795       34,849,203  
   

 

 

 
      159,575,619  
   

 

 

 

Consumer, Cyclical - 1.6%

 

Home Depot, Inc.

    63,998       18,887,090  
   

 

 

 

Consumer, Non-Cyclical - 15.6%

 

Amgen, Inc.

    58,637       14,175,495  

Becton Dickinson & Co.

    94,191       23,316,040  

Elevance Health, Inc.

    61,319       28,195,089  

Haleon PLC ADR

    2,324,454       18,921,056  

Johnson & Johnson

    133,654       20,716,370  

McKesson Corp.

    32,643       11,622,540  

Merck & Co., Inc.

    135,573       14,423,612  

PepsiCo, Inc.

    103,610       18,888,103  

UnitedHealth Group, Inc.

    68,416       32,332,717  
   

 

 

 
    182,591,022  
   

 

 

 

Energy - 9.8%

 

Chevron Corp.

    199,716       32,585,663  

ConocoPhillips

    502,687       49,871,577  

Enterprise Products Partners LP

    1,240,668       32,133,301  
   

 

 

 
    114,590,541  
   

 

 

 

Financial - 23.1%

 

American Express Co.

    222,123       36,639,189  

American Tower Corp. REIT

    89,977       18,385,900  

Bank of America Corp.

    1,304,521       37,309,301  

Bank of New York Mellon Corp.

    311,245       14,142,973  

Berkshire Hathaway, Inc. Class B *

    65,510       20,227,523  

Charles Schwab Corp.

    184,706       9,674,900  

JPMorgan Chase & Co.

    331,617       43,213,011  

Marsh & McLennan Cos., Inc.

    110,951       18,478,889  

Progressive Corp.

    147,348       21,079,605  

Travelers Cos., Inc.

    95,385       16,349,943  

US Bancorp

    391,888       14,127,562  

Visa, Inc. Class A

    90,459       20,394,886  
   

 

 

 
    270,023,682  
   

 

 

 

Industrial - 18.8%

 

Deere & Co.

    86,407       35,675,722  

Illinois Tool Works, Inc.

    80,162       19,515,439  

Martin Marietta Materials, Inc.

    41,332       14,675,340  

Northrop Grumman Corp.

    48,662       22,468,219  

Otis Worldwide Corp.

    174,415       14,720,626  

Raytheon Technologies Corp.

    379,049       37,120,269  

TE Connectivity Ltd.

    268,286       35,185,709  

United Parcel Service, Inc. Class B

    124,844       24,218,487  

Vertiv Holdings Co.

    1,183,907       16,941,709  
   

 

 

 
    220,521,520  
   

 

 

 
   

Shares

   

Value

 

Technology - 5.1%

 

 

Intel Corp.

    641,038       $ 20,942,711  

Microsoft Corp.

    44,190       12,739,977  

Oracle Corp.

    172,400       16,019,408  

QUALCOMM, Inc.

    73,686       9,400,860  
   

 

 

 
    59,102,956  
   

 

 

 

Utilities - 6.2%

 

Edison International

    317,599       22,419,314  

Sempra Energy

    330,026       49,886,730  
   

 

 

 
    72,306,044  
   

 

 

 

Total Common Stocks
(Cost $829,251,491)

      1,142,499,158  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 1.8%

 

Repurchase Agreement - 1.8%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $20,638,689; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $21,043,727)

    $20,631,038       20,631,038  
   

 

 

 

Total Short-Term Investment
(Cost $20,631,038)

      20,631,038  
   

 

 

 

TOTAL INVESTMENTS - 99.4%
(Cost $849,882,529)

      1,163,130,196  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.6%

      7,132,492  
   

 

 

 

NET ASSETS - 100.0%

      $1,170,262,688  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

103

PACIFIC SELECT FUND

LARGE-CAP VALUE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

     

Total Value at

March 31, 2023

    

Level 1

Quoted Price

    

Level 2

Significant
Observable Inputs

    

Level 3

Significant
Unobservable Inputs

 

Assets

 

Common Stocks

     $1,142,499,158        $1,142,499,158        $-        $-  
 

Short-Term Investment

     20,631,038        -        20,631,038        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,163,130,196        $1,142,499,158        $20,631,038        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

104

PACIFIC SELECT FUND

MID-CAP EQUITY PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 99.5%

 

Basic Materials - 5.8%

 

Agnico Eagle Mines Ltd. (Canada)

    42,294       $2,155,725  

Alamos Gold, Inc. Class A (Canada)

    151,257       1,849,873  

Albemarle Corp.

    23,850       5,271,804  

Alcoa Corp.

    59,217       2,520,276  

CF Industries Holdings, Inc.

    35,605       2,581,007  

Freeport-McMoRan, Inc.

    120,629       4,934,932  

Hecla Mining Co.

    309,512       1,959,211  

Huntsman Corp.

    43,088       1,178,888  

Mosaic Co.

    105,214       4,827,218  

Nucor Corp.

    35,637       5,504,847  

Westlake Corp.

    20,842       2,417,255  
   

 

 

 
    35,201,036  
   

 

 

 

Communications - 2.8%

 

Arista Networks, Inc. *

    24,907       4,180,889  

Fox Corp. Class A

    195,746       6,665,151  

Spotify Technology SA *

    3,912       522,722  

World Wrestling Entertainment, Inc. Class A

    34,763       3,172,471  

Zillow Group, Inc. Class A *

    59,037       2,579,917  
   

 

 

 
    17,121,150  
   

 

 

 

Consumer, Cyclical - 15.5%

 

Best Buy Co., Inc.

    7,266       568,710  

Brunswick Corp.

    17,792       1,458,944  

Casey’s General Stores, Inc.

    31,068       6,724,979  

Chipotle Mexican Grill, Inc. *

    3,322       5,674,939  

Copart, Inc. *

    27,004       2,030,971  

Darden Restaurants, Inc.

    17,132       2,658,201  

Delta Air Lines, Inc. *

    102,496       3,579,160  

Dollar General Corp.

    2,575       541,934  

DR Horton, Inc.

    26,750       2,613,207  

Floor & Decor Holdings, Inc. Class A *

    35,659       3,502,427  

Las Vegas Sands Corp. *

    125,406       7,204,575  

Live Nation Entertainment, Inc. *

    45,614       3,192,980  

Lululemon Athletica, Inc. *

    19,389       7,061,280  

Murphy USA, Inc.

    18,518       4,778,570  

NVR, Inc. *

    862       4,803,228  

O’Reilly Automotive, Inc. *

    6,412       5,443,660  

Polaris, Inc.

    17,183       1,900,955  

Ross Stores, Inc.

    20,551       2,181,078  

Southwest Airlines Co.

    55,469       1,804,961  

Texas Roadhouse, Inc.

    45,818       4,951,093  

Thor Industries, Inc.

    6,790       540,756  

Tractor Supply Co.

    17,079       4,014,248  

Ulta Beauty, Inc. *

    16,108       8,789,652  

Vail Resorts, Inc.

    18,539       4,332,194  

WW Grainger, Inc.

    3,217       2,215,902  

YETI Holdings, Inc. *

    31,662       1,266,480  
   

 

 

 
    93,835,084  
   

 

 

 

Consumer, Non-Cyclical - 20.3%

 

Albertsons Cos., Inc. Class A

    232,308       4,827,360  

Align Technology, Inc. *

    22,463       7,505,787  

AmerisourceBergen Corp.

    27,794       4,450,097  

BioMarin Pharmaceutical, Inc. *

    80,043       7,783,381  

Booz Allen Hamilton Holding Corp.

    4,475       414,788  

Corteva, Inc.

    82,035       4,947,531  

CoStar Group, Inc. *

    33,225       2,287,541  

Darling Ingredients, Inc. *

    107,586       6,283,022  

Edwards Lifesciences Corp. *

    103,411       8,555,192  

Exelixis, Inc. *

    75,072       1,457,148  

FTI Consulting, Inc. *

    5,138       1,013,984  

Gartner, Inc. *

    18,078       5,889,270  

Henry Schein, Inc. *

    51,528       4,201,593  
   

Shares

   

Value

 

Hershey Co.

    23,697       $ 6,028,754  

Hormel Foods Corp.

    7,565       301,692  

Insulet Corp. *

    25,208       8,040,344  

Kroger Co.

    5,763       284,519  

Molina Healthcare, Inc. *

    4,202       1,123,993  

Monster Beverage Corp. *

    103,614       5,596,192  

Morningstar, Inc.

    11,434       2,321,445  

Neurocrine Biosciences, Inc. *

    17,460       1,767,301  

Omnicell, Inc. *

    58,803       3,449,972  

Quanta Services, Inc.

    96,446       16,071,762  

Ritchie Bros Auctioneers, Inc. (Canada)

    43,657       2,457,453  

Service Corp. International

    39,085       2,688,266  

Tyson Foods, Inc. Class A

    87,359       5,182,136  

U-Haul Holding Co.

    72,187       3,742,896  

United Rentals, Inc.

    4,130       1,634,489  

Vertex Pharmaceuticals, Inc. *

    7,907       2,491,259  
   

 

 

 
    122,799,167  
   

 

 

 

Energy - 6.3%

 

Baker Hughes Co.

    207,862       5,998,897  

ChampionX Corp.

    31,328       849,929  

Cheniere Energy, Inc.

    28,579       4,504,051  

Enphase Energy, Inc. *

    14,583       3,066,513  

Hess Corp.

    64,751       8,569,147  

Noble Corp. PLC *

    149,046       5,882,846  

Pioneer Natural Resources Co.

    31,839       6,502,797  

Valero Energy Corp.

    18,903       2,638,859  
   

 

 

 
    38,013,039  
   

 

 

 

Financial - 15.9%

 

Agree Realty Corp. REIT

    96,134       6,595,754  

Arch Capital Group Ltd. *

    41,756       2,833,980  

Axis Capital Holdings Ltd.

    93,306       5,087,043  

Brown & Brown, Inc.

    85,591       4,914,635  

Cboe Global Markets, Inc.

    83,726       11,239,378  

Citizens Financial Group, Inc.

    85,461       2,595,451  

Commerce Bancshares, Inc.

    65,136       3,800,686  

Discover Financial Services

    60,863       6,015,699  

EastGroup Properties, Inc. REIT

    31,303       5,175,012  

Evercore, Inc. Class A

    32,122       3,706,236  

Everest Re Group Ltd.

    14,372       5,145,463  

First American Financial Corp.

    33,222       1,849,137  

Healthcare Realty Trust, Inc. REIT

    373,001       7,210,109  

Host Hotels & Resorts, Inc. REIT

    333,287       5,495,903  

Kinsale Capital Group, Inc.

    8,098       2,430,615  

Mid-America Apartment Communities, Inc. REIT

    35,711       5,393,789  

STAG Industrial, Inc. REIT

    312,465       10,567,566  

White Mountains Insurance Group Ltd.

    4,196       5,779,948  
   

 

 

 
    95,836,404  
   

 

 

 

Industrial - 14.3%

 

AGCO Corp.

    52,660       7,119,632  

Agilent Technologies, Inc.

    67,127       9,286,349  

Builders FirstSource, Inc. *

    6,884       611,162  

BWX Technologies, Inc.

    34,073       2,147,962  

Carrier Global Corp.

    125,247       5,730,050  

Chart Industries, Inc. *

    48,709       6,108,109  

Eagle Materials, Inc.

    31,378       4,604,722  

Flex Ltd. *

    278,919       6,417,926  

Garmin Ltd.

    8,057       813,112  

Generac Holdings, Inc. *

    44,242       4,778,578  

Hubbell, Inc.

    29,472       7,170,832  

Huntington Ingalls Industries, Inc.

    11,665       2,414,888  

Keysight Technologies, Inc. *

    40,626       6,560,287  

Knight-Swift Transportation Holdings, Inc.

    32,747       1,852,825  

L3Harris Technologies, Inc.

    7,170       1,407,041  

Martin Marietta Materials, Inc.

    7,214       2,561,403  

Owens Corning

    29,281       2,805,120  

Textron, Inc.

    73,231       5,172,306  

Timken Co.

    48,352       3,951,325  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

105

PACIFIC SELECT FUND

MID-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

vUniversal Display Corp.

    10,931       $ 1,695,726  

Vulcan Materials Co.

    17,304       2,968,674  
   

 

 

 
    86,178,029  
   

 

 

 

Technology - 13.0%

 

DocuSign, Inc. *

    47,280       2,756,424  

DXC Technology Co. *

    146,678       3,749,090  

Jack Henry & Associates, Inc.

    29,680       4,473,370  

KLA Corp.

    8,601       3,433,261  

Microchip Technology, Inc.

    22,331       1,870,891  

Monolithic Power Systems, Inc.

    7,317       3,662,451  

ON Semiconductor Corp. *

    55,027       4,529,823  

Paycom Software, Inc. *

    1,978       601,332  

Pure Storage, Inc. Class A *

    223,765       5,708,245  

Skyworks Solutions, Inc.

    66,776       7,878,232  

Splunk, Inc. *

    104,862       10,054,169  

Take-Two Interactive Software, Inc. *

    28,322       3,378,815  

Teradata Corp. *

    265,415       10,690,916  

Teradyne, Inc.

    57,810       6,215,153  

Veeva Systems, Inc. Class A *

    2,255       414,446  

Workday, Inc. Class A *

    29,191       6,029,109  

Zebra Technologies Corp. Class A *

    10,116       3,216,888  
   

 

 

 
    78,662,615  
   

 

 

 

Utilities - 5.6%

 

CenterPoint Energy, Inc.

    469,650       13,835,889  

Evergy, Inc.

    109,676       6,703,397  

WEC Energy Group, Inc.

    136,703       12,958,077  
   

 

 

 
    33,497,363  
   

 

 

 

Total Common Stocks
(Cost $586,450,403)

      601,143,887  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 0.9%

 

Repurchase Agreement - 0.9%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $5,734,801; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $5,847,348)

    $5,732,675       5,732,675  
   

 

 

 

Total Short-Term Investment
(Cost $5,732,675)

      5,732,675  
   

 

 

 

TOTAL INVESTMENTS - 100.4%
(Cost $592,183,078)

      606,876,562  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.4%)

 

    (2,491,863
   

 

 

 

NET ASSETS - 100.0%

      $604,384,699  
   

 

 

 

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

106

PACIFIC SELECT FUND

MID-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $601,143,887        $601,143,887        $-        $-  
 

Short-Term Investment

     5,732,675        -        5,732,675        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $606,876,562        $601,143,887        $5,732,675        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

107

PACIFIC SELECT FUND

MID-CAP GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 99.8%

 

Communications - 8.3%

 

Arista Networks, Inc. *

    98,285       $16,498,120  

Pinterest, Inc. Class A *

    836,888       22,821,936  

Shutterstock, Inc.

    145,205       10,541,883  

Trade Desk, Inc. Class A *

    264,810       16,129,577  
   

 

 

 
    65,991,516  
   

 

 

 

Consumer, Cyclical - 17.3%

 

BorgWarner, Inc.

    417,652       20,510,890  

Copart, Inc. *

    151,232       11,374,159  

Fastenal Co.

    233,989       12,621,367  

Floor & Decor Holdings, Inc. Class A *

    128,931       12,663,603  

Foot Locker, Inc.

    222,510       8,831,422  

Levi Strauss & Co. Class A

    546,685       9,966,067  

Lululemon Athletica, Inc. *

    35,348       12,873,388  

National Vision Holdings, Inc. *

    286,025       5,388,711  

On Holding AG Class A * (Switzerland)

    408,917       12,688,694  

Petco Health & Wellness Co., Inc. *

    519,731       4,677,579  

Pool Corp.

    40,507       13,871,217  

Vail Resorts, Inc.

    55,860       13,053,365  
   

 

 

 
    138,520,462  
   

 

 

 

Consumer, Non-Cyclical - 27.6%

 

Bio-Techne Corp.

    159,560       11,837,756  

Brown-Forman Corp. Class B

    157,591       10,128,374  

Clarivate PLC *

    623,310       5,852,881  

Cooper Cos., Inc.

    11,261       4,204,407  

CoStar Group, Inc. *

    462,890       31,869,976  

Dexcom, Inc. *

    240,526       27,944,311  

Edwards Lifesciences Corp. *

    128,688       10,646,358  

Envista Holdings Corp. *

    376,206       15,379,301  

Genmab AS ADR * (Denmark)

    328,452       12,402,348  

Intuitive Surgical, Inc. *

    56,244       14,368,655  

MarketAxess Holdings, Inc.

    82,922       32,446,549  

Repligen Corp. *

    88,325       14,870,397  

Seagen, Inc. *

    58,527       11,849,962  

West Pharmaceutical Services, Inc.

    35,435       12,277,164  

WillScot Mobile Mini Holdings Corp. *

    88,284       4,138,754  
   

 

 

 
    220,217,193  
   

 

 

 

Financial - 1.1%

 

Kinsale Capital Group, Inc.

    29,821       8,950,773  
   

 

 

 

Industrial - 21.4%

 

Agilent Technologies, Inc.

    82,490       11,411,667  

AO Smith Corp.

    178,434       12,338,711  

Coherent Corp. *

    327,496       12,471,048  

Generac Holdings, Inc. *

    89,237       9,638,488  

HEICO Corp. Class A

    131,988       17,937,169  

Howmet Aerospace, Inc.

    132,992       5,634,871  

IDEX Corp.

    47,330       10,934,650  

Keysight Technologies, Inc. *

    85,502       13,806,863  

Lincoln Electric Holdings, Inc.

    51,464       8,702,562  

Littelfuse, Inc.

    37,809       10,136,215  

Martin Marietta Materials, Inc.

    22,377       7,945,178  

Novanta, Inc. *

    67,473       10,734,280  

Trex Co., Inc. *

    265,206       12,907,576  

Trimble, Inc. *

    227,551       11,928,223  

Universal Display Corp.

    93,814       14,553,366  
   

 

 

 
    171,080,867  
   

 

 

 

Technology - 24.1%

 

Crowdstrike Holdings, Inc. Class A *

    94,016       12,904,636  
   

Shares

   

Value

 

DocuSign, Inc. *

    213,826       $ 12,466,056  

DoubleVerify Holdings, Inc. *

    92,035       2,774,855  

EngageSmart, Inc. *

    202,874       3,905,325  

HubSpot, Inc. *

    19,700       8,446,375  

Marvell Technology, Inc.

    358,424       15,519,759  

Microchip Technology, Inc.

    240,676       20,163,835  

Monolithic Power Systems, Inc.

    52,846       26,451,537  

Paycom Software, Inc. *

    51,885       15,773,559  

Teradyne, Inc.

    186,012       19,998,150  

Tyler Technologies, Inc. *

    46,177       16,376,211  

Workday, Inc. Class A *

    51,718       10,681,836  

Workiva, Inc. *

    112,823       11,554,204  

Zebra Technologies Corp. Class A *

    23,848       7,583,664  

ZoomInfo Technologies, Inc. *

    330,502       8,166,704  
   

 

 

 
    192,766,706  
   

 

 

 

Total Common Stocks
(Cost $727,601,648)

      797,527,517  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 0.3%

 

Repurchase Agreement - 0.3%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $2,734,027; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $2,787,678)

    $2,733,013       2,733,013  
   

 

 

 

Total Short-Term Investment
(Cost $2,733,013)

      2,733,013  
   

 

 

 

TOTAL INVESTMENTS - 100.1%
(Cost $730,334,661)

      800,260,530  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.1%)

      (469,155
   

 

 

 

NET ASSETS - 100.0%

      $799,791,375  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

108

PACIFIC SELECT FUND

MID-CAP GROWTH PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $797,527,517        $797,527,517        $-        $-  
 

Short-Term Investment

     2,733,013        -        2,733,013        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $800,260,530        $797,527,517        $2,733,013        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

109

PACIFIC SELECT FUND

MID-CAP VALUE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 97.7%

 

Basic Materials - 4.3%

 

Axalta Coating Systems Ltd. *

    152,404       $4,616,317  

DuPont de Nemours, Inc.

    98,154       7,044,512  

FMC Corp.

    41,561       5,075,845  

PPG Industries, Inc.

    48,750       6,512,025  

Valvoline, Inc.

    111,504       3,895,950  
   

 

 

 
    27,144,649  
   

 

 

 

Communications - 2.6%

 

eBay, Inc.

    66,211       2,937,782  

Expedia Group, Inc. *

    42,171       4,091,852  

Gen Digital, Inc.

    137,737       2,363,567  

Interpublic Group of Cos., Inc.

    77,772       2,896,229  

Nexstar Media Group, Inc.

    11,565       1,996,813  

TEGNA, Inc.

    117,038       1,979,113  
   

 

 

 
    16,265,356  
   

 

 

 

Consumer, Cyclical - 14.8%

 

Alaska Air Group, Inc. *

    81,982       3,439,965  

AutoZone, Inc. *

    4,680       11,504,142  

Boyd Gaming Corp.

    25,910       1,661,349  

Copart, Inc. *

    66,452       4,997,855  

Darden Restaurants, Inc.

    24,158       3,748,355  

Domino’s Pizza, Inc.

    5,508       1,816,924  

Ferguson PLC

    34,633       4,632,164  

Gentex Corp.

    132,142       3,703,940  

Harley-Davidson, Inc.

    128,412       4,875,804  

International Game Technology PLC

    93,667       2,510,276  

Las Vegas Sands Corp. *

    70,267       4,036,839  

Lear Corp.

    14,038       1,958,161  

Live Nation Entertainment, Inc. *

    21,892       1,532,440  

LKQ Corp.

    84,629       4,803,542  

Marriott International, Inc. Class A

    33,169       5,507,381  

NVR, Inc. *

    644       3,588,490  

Polaris, Inc.

    48,662       5,383,477  

Resideo Technologies, Inc. *

    132,908       2,429,558  

Ross Stores, Inc.

    59,024       6,264,217  

Tempur Sealy International, Inc.

    143,060       5,649,439  

Whirlpool Corp.

    28,436       3,754,121  

Wyndham Hotels & Resorts, Inc.

    65,133       4,419,274  
   

 

 

 
    92,217,713  
   

 

 

 

Consumer, Non-Cyclical - 14.9%

 

AmerisourceBergen Corp.

    57,153       9,150,767  

ASGN, Inc. *

    23,340       1,929,518  

Avantor, Inc. *

    91,681       1,938,136  

Avery Dennison Corp.

    16,281       2,913,159  

Centene Corp. *

    25,353       1,602,563  

Cigna Group

    6,397       1,634,625  

Coca-Cola Europacific Partners PLC (United Kingdom)

    62,049       3,672,680  

Corteva, Inc.

    124,769       7,524,818  

Envista Holdings Corp. *

    58,659       2,397,980  

FleetCor Technologies, Inc. *

    12,791       2,696,982  

Global Payments, Inc.

    23,155       2,436,832  

H&R Block, Inc.

    81,814       2,883,944  

HCA Healthcare, Inc.

    28,689       7,564,716  

Humana, Inc.

    11,120       5,398,315  

ICON PLC (Ireland) *

    39,005       8,331,078  

IQVIA Holdings, Inc. *

    10,749       2,137,869  

Keurig Dr Pepper, Inc.

    107,636       3,797,398  

Laboratory Corp. of America Holdings

    13,032       2,989,802  

Molina Healthcare, Inc. *

    523       139,897  

Ritchie Bros Auctioneers, Inc. (Canada)

    80,374       4,524,253  

Robert Half International, Inc.

    25,534       2,057,274  
   

Shares

   

Value

 

TransUnion

    53,151       $ 3,302,803  

US Foods Holding Corp. *

    176,525       6,520,834  

Zimmer Biomet Holdings, Inc.

    42,667       5,512,576  
   

 

 

 
    93,058,819  
   

 

 

 

Energy - 5.4%

 

Devon Energy Corp.

    71,568       3,622,056  

Diamondback Energy, Inc.

    24,462       3,306,529  

Halliburton Co.

    240,617       7,613,122  

Marathon Petroleum Corp.

    37,230       5,019,721  

Pioneer Natural Resources Co.

    18,013       3,678,975  

Schlumberger NV

    117,605       5,774,405  

Valero Energy Corp.

    32,236       4,500,146  
   

 

 

 
    33,514,954  
   

 

 

 

Financial - 20.0%

 

Aflac, Inc.

    52,691       3,399,623  

Allstate Corp.

    14,477       1,604,196  

American Homes 4 Rent Class A REIT

    85,990       2,704,386  

Ameriprise Financial, Inc.

    42,909       13,151,609  

Aon PLC Class A

    19,392       6,114,104  

Arch Capital Group Ltd. *

    49,030       3,327,666  

Ares Management Corp. Class A

    45,713       3,814,293  

Arthur J Gallagher & Co.

    24,512       4,689,391  

Discover Financial Services

    69,779       6,896,956  

East West Bancorp, Inc.

    93,818       5,206,899  

Equity LifeStyle Properties, Inc. REIT

    38,615       2,592,225  

Equity Residential REIT

    62,929       3,775,740  

Essex Property Trust, Inc. REIT

    19,251       4,026,154  

Everest Re Group Ltd.

    19,800       7,088,796  

Fifth Third Bancorp

    190,491       5,074,680  

First American Financial Corp.

    31,193       1,736,202  

Globe Life, Inc.

    42,964       4,726,899  

Healthpeak Properties, Inc. REIT

    115,183       2,530,571  

Huntington Bancshares, Inc.

    479,018       5,365,002  

Kilroy Realty Corp. REIT

    40,785       1,321,434  

Lamar Advertising Co. Class A REIT

    52,010       5,195,279  

Prologis, Inc. REIT

    33,612       4,193,769  

Regency Centers Corp. REIT

    96,341       5,894,142  

RenaissanceRe Holdings Ltd. (Bermuda)

    13,316       2,667,727  

Simon Property Group, Inc. REIT

    48,808       5,465,032  

SLM Corp.

    80,358       995,636  

Travelers Cos., Inc.

    10,893       1,867,169  

VICI Properties, Inc. REIT

    90,027       2,936,681  

Voya Financial, Inc.

    23,320       1,666,447  

Welltower, Inc. REIT

    69,491       4,981,810  
   

 

 

 
    125,010,518  
   

 

 

 

Industrial - 21.3%

 

Advanced Drainage Systems, Inc.

    19,907       1,676,368  

Allegion PLC

    56,151       5,992,996  

AMETEK, Inc.

    75,314       10,945,384  

Builders FirstSource, Inc. *

    26,451       2,348,320  

BWX Technologies, Inc.

    71,010       4,476,470  

Curtiss-Wright Corp.

    27,835       4,906,197  

Dover Corp.

    70,889       10,770,875  

Eaton Corp. PLC

    42,038       7,202,791  

Expeditors International of Washington, Inc.

    49,465       5,447,086  

Flex Ltd. *

    108,987       2,507,791  

Fortive Corp.

    49,936       3,404,137  

Frontdoor, Inc. *

    109,597       3,055,564  

Garmin Ltd.

    44,716       4,512,739  

Hexcel Corp.

    68,201       4,654,718  

Howmet Aerospace, Inc.

    198,034       8,390,701  

ITT, Inc.

    25,866       2,232,236  

L3Harris Technologies, Inc.

    9,395       1,843,675  

Landstar System, Inc.

    27,164       4,869,419  

Masco Corp.

    112,682       5,602,549  

Mohawk Industries, Inc. *

    18,580       1,862,088  

Norfolk Southern Corp.

    24,332       5,158,384  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

110

PACIFIC SELECT FUND

MID-CAP VALUE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

nVent Electric PLC

    76,559       $ 3,287,443  

Otis Worldwide Corp.

    62,127       5,243,519  

Parker-Hannifin Corp.

    27,163       9,129,756  

TE Connectivity Ltd.

    41,842       5,487,578  

Textron, Inc.

    113,021       7,982,673  
   

 

 

 
    132,991,457  
   

 

 

 

Technology - 9.2%

 

Check Point Software Technologies Ltd. * (Israel)

    45,501       5,915,130  

Cognizant Technology Solutions Corp. Class A

    64,951       3,957,464  

Fair Isaac Corp. *

    6,362       4,470,514  

Fidelity National Information Services, Inc.

    35,609       1,934,637  

KLA Corp.

    4,707       1,878,893  

Leidos Holdings, Inc.

    38,136       3,510,800  

Microchip Technology, Inc.

    85,056       7,125,992  

NetApp, Inc.

    52,620       3,359,787  

NXP Semiconductors NV (China)

    21,324       3,976,393  

Qorvo, Inc. *

    45,970       4,669,173  

Science Applications International Corp.

    38,257       4,111,097  

SS&C Technologies Holdings, Inc.

    88,280       4,985,172  

Take-Two Interactive Software, Inc. *

    26,431       3,153,218  

Teradyne, Inc.

    19,791       2,127,730  

Western Digital Corp. *

    67,661       2,548,790  
   

 

 

 
    57,724,790  
   

 

 

 

Utilities - 5.2%

 

American Electric Power Co., Inc.

    65,283       5,940,100  

CenterPoint Energy, Inc.

    375,248       11,054,806  

DTE Energy Co.

    36,376       3,984,627  

Entergy Corp.

    65,683       7,076,687  

FirstEnergy Corp.

    105,571       4,229,174  
   

 

 

 
    32,285,394  
   

 

 

 

Total Common Stocks
(Cost $501,405,459)

      610,213,650  
   

 

 

 
   

Principal

Amount

       

SHORT-TERM INVESTMENT - 2.3%

 

Repurchase Agreement - 2.3%

 

State Street Bank & Trust Co.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $14,491,101; collateralized by U.S. Treasury Notes: 1.500% due 01/31/27 and value $14,775,509)

    $14,485,729       14,485,729  
   

 

 

 

Total Short-Term Investment
(Cost $14,485,729)

      14,485,729  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $515,891,188)

      624,699,379  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    184,971  
   

 

 

 

NET ASSETS - 100.0%

      $624,884,350  
   

 

 

 

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

111

PACIFIC SELECT FUND

MID-CAP VALUE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $610,213,650        $610,213,650        $-        $-  
 

Short-Term Investment

     14,485,729        -        14,485,729        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $624,699,379        $610,213,650        $14,485,729        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

112

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

RIGHTS - 0.0%

 

Basic Materials - 0.0%

 

PolyMet Mining Corp. *
Exp 04/10/23

    4,030       $11  
   

 

 

 

Consumer, Non-Cyclical - 0.0%

 

Contra Aduro Biotechnologies, Inc. - Contingent Value Rights * W ±

    154       391  

OmniAb, Inc.
$12.50 - Earn Out Shares * W ±

    660       -  

OmniAb, Inc.
$15.00 - Earn Out Shares * W ±

    660       -  
   

 

 

 
      391  
   

 

 

 

Total Rights
(Cost $0)

      402  
   

 

 

 

COMMON STOCKS - 97.8%

 

Basic Materials - 6.3%

 

AdvanSix, Inc.

    1,925       73,670  

Alcoa Corp.

    35,376       1,505,603  

American Vanguard Corp.

    304       6,651  

Amyris, Inc. *

    18,832       25,611  

Arconic Corp. *

    104,642       2,744,760  

Ashland, Inc.

    6,485       666,074  

Avient Corp.

    29,547       1,216,154  

AZZ, Inc.

    2,737       112,874  

Carpenter Technology Corp.

    5,314       237,855  

Coeur Mining, Inc. *

    31,112       124,137  

Commercial Metals Co.

    25,210       1,232,769  

Constellium SE *

    6,447       98,510  

Danimer Scientific, Inc. *

    9,896       34,141  

Ecovyst, Inc. *

    9,358       103,406  

Elementis PLC * (United Kingdom)

    1,497,351       2,199,933  

Energy Fuels, Inc. *

    2,916       16,271  

Glatfelter Corp.

    5,475       17,465  

Hawkins, Inc.

    819       35,856  

Haynes International, Inc.

    1,353       67,772  

HB Fuller Co.

    858       58,730  

Hecla Mining Co.

    61,247       387,693  

Hycroft Mining Holding Corp. *

    2,983       1,290  

Innospec, Inc.

    411       42,197  

Intrepid Potash, Inc. *

    1,216       33,562  

Ivanhoe Electric, Inc. *

    2,606       31,663  

Koppers Holdings, Inc.

    2,109       73,752  

Mativ Holdings, Inc.

    5,627       120,812  

Minerals Technologies, Inc.

    30,410       1,837,372  

Novagold Resources, Inc. * (Canada)

    1,509       9,386  

Origin Materials, Inc. *

    4,440       18,959  

Perimeter Solutions SA *

    13,016       105,169  

Piedmont Lithium, Inc. *

    1,369       82,208  

PolyMet Mining Corp. * (Canada)

    2,417       5,197  

Quaker Chemical Corp.

    503       99,569  

Rayonier Advanced Materials, Inc. *

    6,744       42,285  

Schnitzer Steel Industries, Inc. Class A

    2,554       79,429  

Sensient Technologies Corp.

    241       18,451  

Stepan Co.

    2,137       220,175  

Sylvamo Corp.

    261       12,074  

Terawulf, Inc. *

    6,937       6,506  

Trinseo PLC

    3,820       79,647  

Tronox Holdings PLC

    139,679       2,008,584  

Unifi, Inc. *

    1,812       14,804  

Ur-Energy, Inc. *

    2,111       2,238  

US Lime & Minerals, Inc.

    41       6,260  
   

    

Shares

   

Value

 

Valhi, Inc.

    283       $ 4,927  
   

 

 

 
    15,922,451  
   

 

 

 

Communications - 1.7%

 

1-800-Flowers.com, Inc. Class A *

    2,836       32,614  

1stdibs.com, Inc. *

    2,867       11,382  

A10 Networks, Inc.

    1,436       22,244  

ADTRAN Holdings, Inc.

    906       14,369  

Advantage Solutions, Inc. *

    8,655       13,675  

aka Brands Holding Corp. *

    563       307  

Allbirds, Inc. Class A *

    8,752       10,502  

AMC Networks, Inc. Class A *

    3,304       58,084  

Anterix, Inc. *

    1,439       47,545  

Arena Group Holdings, Inc. *

    363       1,543  

ATN International, Inc.

    1,194       48,858  

Audacy, Inc. *

    14,650       1,973  

Aviat Networks, Inc. *

    1,084       37,355  

BARK, Inc. *

    11,828       17,151  

Blade Air Mobility, Inc. *

    6,179       20,885  

Boston Omaha Corp. Class A *

    2,257       53,423  

Bumble, Inc. Class A *

    11,081       216,634  

Calix, Inc. *

    1,337       71,650  

Cars.com, Inc. *

    6,351       122,574  

Clear Channel Outdoor Holdings, Inc. *

    40,276       48,331  

Cogent Communications Holdings, Inc.

    2,173       138,464  

Consolidated Communications Holdings, Inc. *

    7,279       18,780  

ContextLogic, Inc. Class A *

    63,189       28,170  

Cumulus Media, Inc. Class A *

    2,262       8,347  

DHI Group, Inc. *

    741       2,875  

DigitalBridge Group, Inc.

    2,038       24,436  

EchoStar Corp. Class A *

    3,671       67,143  

Edgio, Inc. *

    1,237       979  

Entravision Communications Corp. Class A

    1,762       10,660  

ePlus, Inc. *

    666       32,661  

Eventbrite, Inc. Class A *

    1,262       10,828  

EW Scripps Co. Class A *

    6,387       60,102  

Figs, Inc. Class A *

    1,881       11,643  

fuboTV, Inc. *

    20,530       24,841  

Gannett Co., Inc. *

    15,301       28,613  

Globalstar, Inc. *

    10,593       12,288  

Gogo, Inc. *

    4,981       72,224  

Gray Television, Inc.

    5,029       43,853  

Groupon, Inc. *

    1,890       7,957  

HealthStream, Inc. *

    2,484       67,316  

Hims & Hers Health, Inc. *

    2,274       22,558  

IDT Corp. Class B *

    446       15,200  

iHeartMedia, Inc. Class A *

    13,165       51,343  

Innovid Corp. * (Israel)

    1,495       2,108  

Inseego Corp. *

    8,828       5,141  

Inspirato, Inc. *

    2,399       2,300  

InterDigital, Inc.

    2,063       150,393  

KORE Group Holdings, Inc. *

    4,943       6,030  

Lands’ End, Inc. *

    1,781       17,311  

Liberty Latin America Ltd. Class A *

    4,953       41,159  

Liberty Latin America Ltd. Class C *

    15,502       128,046  

Liquidity Services, Inc. *

    1,313       17,292  

Magnite, Inc. *

    14,669       135,835  

Maxar Technologies, Inc.

    8,107       413,943  

NETGEAR, Inc. *

    3,093       57,251  

Overstock.com, Inc. *

    4,651       94,276  

Planet Labs PBC *

    2,589       10,175  

Preformed Line Products Co.

    260       33,290  

QuinStreet, Inc. *

    5,199       82,508  

Quotient Technology, Inc. *

    8,756       28,720  

RealReal, Inc. *

    9,173       11,558  

Ribbon Communications, Inc. *

    7,896       27,004  

Rover Group, Inc. *

    485       2,197  

RumbleON, Inc. Class B *

    1,323       8,017  

Scholastic Corp.

    3,266       111,762  

Shenandoah Telecommunications Co.

    5,395       102,613  

Solo Brands, Inc. Class A *

    2,683       19,264  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

113

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

Squarespace, Inc. Class A *

    2,534       $ 80,505  

Stagwell, Inc. *

    7,599       56,385  

Stitch Fix, Inc. Class A *

    5,500       28,105  

TEGNA, Inc.

    24,645       416,747  

Telephone & Data Systems, Inc.

    11,202       117,733  

Terran Orbital Corp. *

    4,989       9,180  

Thryv Holdings, Inc. *

    2,087       48,126  

TrueCar, Inc. *

    9,540       21,942  

Urban One, Inc. *

    1,770       11,293  

US Cellular Corp. *

    1,605       33,272  

Vacasa, Inc. Class A *

    10,964       10,550  

Value Line, Inc.

    32       1,547  

Vivid Seats, Inc. Class A *

    2,293       17,496  

WideOpenWest, Inc. *

    2,693       28,627  

Ziff Davis, Inc. *

    4,105       320,395  
   

 

 

 
    4,322,476  
   

 

 

 

Consumer, Cyclical - 12.7%

 

A-Mark Precious Metals, Inc.

    2,127       73,701  

Abercrombie & Fitch Co. Class A *

    5,384       149,406  

Academy Sports & Outdoors, Inc.

    8,362       545,621  

Acushnet Holdings Corp.

    2,614       133,157  

Adient PLC *

    58,266       2,386,575  

Aeva Technologies, Inc. *

    9,871       11,747  

Allegiant Travel Co. *

    966       88,853  

America’s Car-Mart, Inc. *

    643       50,932  

American Axle & Manufacturing Holdings, Inc. *

    11,677       91,197  

American Eagle Outfitters, Inc.

    17,090       229,690  

Asbury Automotive Group, Inc. *

    1,733       363,930  

Aterian, Inc. *

    7,090       6,098  

Bally’s Corp. *

    3,916       76,440  

Beacon Roofing Supply, Inc. *

    1,693       99,633  

Beazer Homes USA, Inc. *

    3,243       51,499  

Bed Bath & Beyond, Inc. *

    2,879       1,230  

Big 5 Sporting Goods Corp.

    2,154       16,564  

Big Lots, Inc.

    3,099       33,965  

Biglari Holdings, Inc. Class B *

    72       12,182  

BJ’s Restaurants, Inc. *

    2,476       72,151  

Bloomin’ Brands, Inc.

    2,595       66,562  

Bluegreen Vacations Holding Corp.

    909       24,888  

BlueLinx Holdings, Inc. *

    957       65,038  

Bowlero Corp. *

    3,225       54,664  

Boyd Gaming Corp.

    10,512       674,029  

Brinker International, Inc. *

    74,877       2,845,326  

Brunswick Corp.

    16,485       1,351,770  

Buckle, Inc.

    196       6,995  

Build-A-Bear Workshop, Inc.

    454       10,551  

Capri Holdings Ltd. *

    14,460       679,620  

Carter’s, Inc.

    21,661       1,557,859  

Cato Corp. Class A

    1,950       17,238  

Cenntro Electric Group Ltd. * (Australia)

    23,452       10,830  

Century Casinos, Inc. *

    307       2,250  

Century Communities, Inc.

    7,346       469,556  

Cepton, Inc. *

    1,086       504  

Chico’s FAS, Inc. *

    3,731       20,521  

Children’s Place, Inc. *

    27,127       1,091,862  

Chuy’s Holdings, Inc. *

    2,004       71,843  

Cinemark Holdings, Inc. *

    2,523       37,315  

Citi Trends, Inc. *

    839       15,958  

Clean Energy Fuels Corp. *

    18,513       80,717  

CompX International, Inc.

    141       2,549  

Conn’s, Inc. *

    1,263       7,654  

Container Store Group, Inc. *

    3,931       13,483  

Dalata Hotel Group PLC * (Ireland)

    159,576       723,552  

Dana, Inc.

    14,319       215,501  

Denny’s Corp. *

    31,874       355,714  

Designer Brands, Inc. Class A

    1,380       12,061  

Destination XL Group, Inc. *

    2,871       15,819  

Dine Brands Global, Inc.

    199       13,460  

Dr. Martens PLC (United Kingdom)

    208,936       366,380  

Duluth Holdings, Inc. Class B *

    730       4,657  
   

    

Shares

   

Value

 

El Pollo Loco Holdings, Inc.

    2,124       $ 20,369  

Ermenegildo Zegna NV (Italy)

    5,063       69,059  

Ethan Allen Interiors, Inc.

    2,471       67,854  

Everi Holdings, Inc. *

    4,316       74,019  

EVgo, Inc. *

    6,310       49,155  

Express, Inc. *

    8,280       6,527  

First Watch Restaurant Group, Inc. *

    1,169       18,774  

FirstCash Holdings, Inc.

    2,077       198,084  

Foot Locker, Inc.

    8,890       352,844  

Forestar Group, Inc. *

    1,635       25,441  

Fossil Group, Inc. *

    4,888       15,642  

Franchise Group, Inc.

    206       5,614  

Full House Resorts, Inc. *

    2,461       17,793  

G-III Apparel Group Ltd. *

    4,818       74,920  

Genesco, Inc. *

    1,322       48,755  

Global Industrial Co.

    410       11,004  

Goodyear Tire & Rubber Co. *

    30,942       340,981  

Green Brick Partners, Inc. *

    2,169       76,045  

Group 1 Automotive, Inc.

    2,352       532,540  

GrowGeneration Corp. *

    6,269       21,440  

Haverty Furniture Cos., Inc.

    1,590       50,737  

Hawaiian Holdings, Inc. *

    5,530       50,655  

Hibbett, Inc.

    270       15,925  

Hilton Grand Vacations, Inc. *

    31,214       1,386,838  

Hyliion Holdings Corp. *

    14,999       29,698  

IMAX Corp. *

    2,195       42,100  

Interface, Inc.

    969       7,868  

International Game Technology PLC

    8,435       226,058  

iRobot Corp. *

    324       14,139  

Jack in the Box, Inc.

    21,177       1,854,893  

JOANN, Inc.

    1,395       2,218  

Johnson Outdoors, Inc. Class A

    569       35,853  

KAR Auction Services, Inc. *

    12,008       164,269  

KB Home

    6,866       275,876  

Kimball International, Inc. Class B

    3,907       48,447  

La-Z-Boy, Inc.

    4,751       138,159  

Landsea Homes Corp. *

    1,129       6,842  

LCI Industries

    6,010       660,319  

LGI Homes, Inc. *

    2,112       240,831  

Life Time Group Holdings, Inc. *

    4,591       73,272  

Lifetime Brands, Inc.

    1,637       9,626  

Light & Wonder, Inc. *

    10,423       625,901  

Lindblad Expeditions Holdings, Inc. *

    3,385       32,361  

Lions Gate Entertainment Corp. Class A *

    6,367       70,483  

Lions Gate Entertainment Corp. Class B *

    12,611       130,902  

LL Flooring Holdings, Inc. *

    2,817       10,705  

Lordstown Motors Corp. Class A *

    16,981       11,260  

M/I Homes, Inc. *

    9,720       613,235  

Madison Square Garden Entertainment Corp. *

    2,900       171,303  

Marcus Corp.

    2,598       41,568  

MarineMax, Inc. *

    2,159       62,071  

MDC Holdings, Inc.

    4,761       185,060  

Meritage Homes Corp.

    5,573       650,704  

Methode Electronics, Inc.

    3,937       172,756  

Microvast Holdings, Inc. *

    9,052       11,224  

Miller Industries, Inc.

    1,141       40,334  

MillerKnoll, Inc.

    8,435       172,496  

Motorcar Parts of America, Inc. *

    1,952       14,523  

Movado Group, Inc.

    1,653       47,557  

National Vision Holdings, Inc. *

    8,154       153,621  

Nikola Corp. *

    2,856       3,456  

Nu Skin Enterprises, Inc. Class A

    3,264       128,308  

ODP Corp. *

    4,437       199,576  

OneWater Marine, Inc. Class A *

    1,143       31,970  

Oxford Industries, Inc.

    503       53,112  

Papa John’s International, Inc.

    997       74,705  

Patrick Industries, Inc.

    2,150       147,942  

PC Connection, Inc.

    1,229       55,256  

PetMed Express, Inc.

    385       6,252  

PLBY Group, Inc. *

    5,176       10,248  

PriceSmart, Inc.

    1,064       76,055  

Proterra, Inc. *

    13,234       20,116  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

114

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

Purple Innovation, Inc. *

    6,548       $ 17,287  

Qurate Retail, Inc. Series A *

    38,237       37,771  

RCI Hospitality Holdings, Inc.

    47       3,674  

Red Rock Resorts, Inc. Class A

    3,103       138,301  

Resideo Technologies, Inc. *

    15,983       292,169  

REV Group, Inc.

    24,460       293,275  

Rite Aid Corp. *

    2,568       5,752  

Rocky Brands, Inc.

    657       15,157  

Rush Enterprises, Inc. Class A

    4,576       249,850  

Rush Enterprises, Inc. Class B

    716       42,881  

Sally Beauty Holdings, Inc. *

    708       11,031  

ScanSource, Inc. *

    2,757       83,923  

SeaWorld Entertainment, Inc. *

    2,204       135,127  

Shoe Carnival, Inc.

    1,856       47,606  

Signet Jewelers Ltd.

    4,941       384,311  

SkyWest, Inc. *

    5,593       123,997  

Sleep Number Corp. *

    1,284       39,046  

Snap One Holdings Corp. *

    1,865       17,438  

Solid Power, Inc. *

    8,760       26,368  

Sonic Automotive, Inc. Class A

    1,996       108,463  

Sovos Brands, Inc. *

    1,414       23,586  

Spirit Airlines, Inc.

    12,069       207,225  

Sportsman’s Warehouse Holdings, Inc. *

    4,079       34,590  

Standard Motor Products, Inc.

    2,202       81,276  

Steelcase, Inc. Class A

    9,505       80,032  

Superior Group of Cos., Inc.

    1,123       8,838  

Taylor Morrison Home Corp. *

    12,278       469,756  

ThredUp, Inc. Class A *

    4,983       12,607  

Tile Shop Holdings, Inc. *

    3,317       15,557  

Tilly’s, Inc. Class A *

    2,283       17,602  

Titan Machinery, Inc. *

    2,211       67,325  

Topgolf Callaway Brands Corp. *

    15,481       334,699  

Torrid Holdings, Inc. *

    811       3,536  

Traeger, Inc. *

    3,226       13,259  

TravelCenters of America, Inc. *

    1,392       120,408  

Tri Pointe Homes, Inc. *

    10,125       256,365  

Tupperware Brands Corp. *

    5,567       13,918  

TuSimple Holdings, Inc. Class A *

    15,455       22,719  

UniFirst Corp.

    1,655       291,661  

Universal Electronics, Inc. *

    1,536       15,575  

Urban Outfitters, Inc. *

    7,088       196,479  

Vinco Ventures, Inc. *

    13,870       4,456  

Virgin Galactic Holdings, Inc. *

    13,869       56,169  

Vista Outdoor, Inc. *

    6,203       171,885  

VSE Corp.

    1,158       51,994  

Wabash National Corp.

    669       16,451  

Weyco Group, Inc.

    659       16,673  

Wheels Up Experience, Inc. *

    15,734       9,956  

Winmark Corp.

    307       98,372  

Winnebago Industries, Inc.

    3,312       191,102  

Workhorse Group, Inc. *

    1,628       2,165  

World Fuel Services Corp.

    6,752       172,514  

Xperi, Inc. *

    4,552       49,753  

Xponential Fitness, Inc. Class A *

    1,560       47,408  

Zumiez, Inc. *

    1,709       31,514  
   

 

 

 
    32,048,692  
   

 

 

 

Consumer, Non-Cyclical - 15.0%

 

23andMe Holding Co. Class A *

    16,072       36,644  

2seventy bio, Inc. *

    4,083       41,647  

2U, Inc. *

    8,377       57,382  

4D Molecular Therapeutics, Inc. *

    3,277       56,332  

Aaron’s Co., Inc.

    3,308       31,955  

AbCellera Biologics, Inc. * (Canada)

    13,233       99,777  

ABM Industries, Inc.

    7,325       329,186  

Absci Corp. *

    6,509       11,391  

ACCO Brands Corp.

    10,047       53,450  

Accolade, Inc. *

    7,264       104,456  

Acrivon Therapeutics, Inc. *

    543       6,891  

AdaptHealth Corp. *

    7,887       98,035  

Adaptive Biotechnologies Corp. *

    11,818       104,353  
   

    

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Addus HomeCare Corp. *

    1,042       $ 111,244  

Adicet Bio, Inc. *

    3,312       19,077  

ADMA Biologics, Inc. *

    12,967       42,921  

Adtalem Global Education, Inc. *

    4,935       190,590  

Aerovate Therapeutics, Inc. *

    998       20,130  

Affimed NV * (Germany)

    1,510       1,126  

Agios Pharmaceuticals, Inc. *

    6,050       138,969  

Akero Therapeutics, Inc. *

    3,584       137,124  

Alico, Inc.

    761       18,416  

Alight, Inc. Class A *

    42,475       391,195  

Allogene Therapeutics, Inc. *

    8,703       42,993  

Allovir, Inc. *

    3,242       12,773  

Alpha Teknova, Inc. *

    701       2,075  

Alphatec Holdings, Inc. *

    782       12,199  

Alpine Immune Sciences, Inc. *

    1,429       11,032  

Alta Equipment Group, Inc.

    1,922       30,464  

ALX Oncology Holdings, Inc. *

    2,108       9,528  

American Public Education, Inc. *

    2,312       12,531  

American Well Corp. Class A *

    25,050       59,118  

Amylyx Pharmaceuticals, Inc. *

    4,481       131,473  

AN2 Therapeutics, Inc. *

    1,046       10,324  

AnaptysBio, Inc. *

    2,213       48,155  

Andersons, Inc.

    3,544       146,438  

AngioDynamics, Inc. *

    4,064       42,022  

ANI Pharmaceuticals, Inc. *

    1,392       55,290  

Anika Therapeutics, Inc. *

    1,592       45,722  

API Group Corp. *

    22,774       511,960  

AppHarvest, Inc. *

    9,064       5,550  

Arbutus Biopharma Corp. *

    5,162       15,641  

Arcellx, Inc. *

    3,264       100,564  

Arcturus Therapeutics Holdings, Inc. *

    326       7,814  

Arcus Biosciences, Inc. *

    5,705       104,059  

Artivion, Inc. *

    749       9,812  

Atara Biotherapeutics, Inc. *

    10,028       29,081  

Atea Pharmaceuticals, Inc. *

    7,915       26,515  

Athira Pharma, Inc. *

    3,981       9,953  

ATI Physical Therapy, Inc. *

    8,550       2,173  

AtriCure, Inc. *

    1,816       75,273  

Avanos Medical, Inc. *

    5,179       154,023  

Aveanna Healthcare Holdings, Inc. *

    4,980       5,179  

Avidity Biosciences, Inc. *

    7,215       110,750  

B&G Foods, Inc.

    7,826       121,538  

Bakkt Holdings, Inc. *

    5,228       8,992  

Barrett Business Services, Inc.

    76       6,737  

Beachbody Co., Inc. *

    11,191       5,396  

Beauty Health Co. *

    1,028       12,984  

Benson Hill, Inc. *

    8,618       9,911  

BioCryst Pharmaceuticals, Inc. *

    6,279       52,367  

Biohaven Ltd. *

    2,617       35,748  

BioLife Solutions, Inc. *

    3,401       73,972  

Bionano Genomics, Inc. *

    32,674       36,268  

Bioventus, Inc. Class A *

    3,920       4,194  

Bioxcel Therapeutics, Inc. *

    2,088       38,962  

Bird Global, Inc. Class A *

    21,041       5,889  

Bluebird Bio, Inc. *

    11,522       36,640  

Boxed, Inc. *

    7,514       1,426  

Bridgebio Pharma, Inc. *

    4,382       72,654  

Bright Health Group, Inc. *

    24,891       5,483  

BrightView Holdings, Inc. *

    4,481       25,183  

Brookdale Senior Living, Inc. *

    20,313       59,923  

Butterfly Network, Inc. *

    14,514       27,286  

C4 Therapeutics, Inc. *

    4,567       14,340  

Cal-Maine Foods, Inc.

    323       19,667  

Cara Therapeutics, Inc. *

    4,892       24,020  

Cardiovascular Systems, Inc. *

    2,036       40,435  

CareMax, Inc. *

    6,383       17,043  

Caribou Biosciences, Inc. *

    6,125       32,524  

Cass Information Systems, Inc.

    1,229       53,228  

Castle Biosciences, Inc. *

    2,679       60,867  

Celldex Therapeutics, Inc. *

    3,991       143,596  

Central Garden & Pet Co. *

    706       28,988  

Central Garden & Pet Co. Class A *

    2,817       110,060  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

115

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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Century Therapeutics, Inc. *

    2,465       $ 8,554  

Chefs’ Warehouse, Inc. *

    1,102       37,523  

Chimerix, Inc. *

    3,295       4,152  

Chinook Therapeutics, Inc. *

    5,615       129,987  

Cipher Mining, Inc. *

    4,347       10,129  

Cogent Biosciences, Inc. *

    6,991       75,433  

Community Health Systems, Inc. *

    13,657       66,919  

CompoSecure, Inc. *

    266       1,958  

CoreCivic, Inc. *

    12,651       116,389  

Crinetics Pharmaceuticals, Inc. *

    4,948       79,465  

Cross Country Healthcare, Inc. *

    3,386       75,576  

CTI BioPharma Corp. *

    8,802       36,968  

Cue Health, Inc. *

    11,890       21,640  

Cullinan Oncology, Inc. *

    2,859       29,248  

Custom Truck One Source, Inc. *

    4,450       30,216  

Cytokinetics, Inc. *

    861       30,299  

Day One Biopharmaceuticals, Inc. *

    3,024       40,431  

Deciphera Pharmaceuticals, Inc. *

    4,144       64,025  

Deluxe Corp.

    4,727       75,632  

Design Therapeutics, Inc. *

    3,700       21,349  

DICE Therapeutics, Inc. *

    3,920       112,308  

Distribution Solutions Group, Inc. *

    93       4,228  

Dyne Therapeutics, Inc. *

    3,459       39,848  

Edgewell Personal Care Co.

    5,692       241,455  

Edgewise Therapeutics, Inc. *

    4,139       27,607  

Editas Medicine, Inc. *

    7,544       54,694  

Eiger BioPharmaceuticals, Inc. *

    481       431  

Embecta Corp.

    856       24,071  

Emergent BioSolutions, Inc. *

    5,499       56,970  

Enanta Pharmaceuticals, Inc. *

    1,943       78,575  

Ennis, Inc.

    2,943       62,068  

Enochian Biosciences, Inc. *

    2,530       2,315  

Envista Holdings Corp. *

    78,819       3,222,121  

EQRx, Inc. *

    21,953       42,589  

Erasca, Inc. *

    8,205       24,697  

European Wax Center, Inc. Class A

    217       4,123  

EyePoint Pharmaceuticals, Inc. *

    1,722       5,063  

FibroGen, Inc. *

    1,041       19,425  

First Advantage Corp. *

    5,918       82,615  

Fresh Del Monte Produce, Inc.

    3,215       96,804  

Fulcrum Therapeutics, Inc. *

    5,470       15,590  

Fulgent Genetics, Inc. *

    2,355       73,523  

GeneDx Holdings Corp. *

    34,658       12,650  

Generation Bio Co. *

    5,005       21,522  

GEO Group, Inc. *

    13,102       103,375  

Geron Corp. *

    14,143       30,690  

Glanbia PLC (Ireland)

    216,596       3,127,751  

Graham Holdings Co. Class B

    406       241,911  

Green Dot Corp. Class A *

    4,586       78,787  

Greenidge Generation Holdings, Inc. *

    1,209       546  

Hackett Group, Inc.

    371       6,856  

Hain Celestial Group, Inc. *

    10,034       172,083  

Healthcare Services Group, Inc.

    4,209       58,379  

Heidrick & Struggles International, Inc.

    2,134       64,788  

Herbalife Nutrition Ltd. *

    3,594       57,863  

Herc Holdings, Inc.

    17,033       1,940,059  

HF Foods Group, Inc. *

    3,731       14,626  

HilleVax, Inc. *

    1,535       25,374  

Honest Co., Inc. *

    7,348       13,226  

Hostess Brands, Inc. *

    14,656       364,641  

Huron Consulting Group, Inc. *

    865       69,520  

ICF International, Inc.

    7,055       773,934  

Icosavax, Inc. *

    2,234       12,957  

Ideaya Biosciences, Inc. *

    4,837       66,412  

IGM Biosciences, Inc. *

    297       4,081  

ImmunityBio, Inc. *

    2,422       4,408  

ImmunoGen, Inc. *

    11,864       45,558  

Immunovant, Inc. *

    4,854       75,286  

Inari Medical, Inc. *

    469       28,956  

Information Services Group, Inc.

    2,214       11,269  

Ingles Markets, Inc. Class A

    1,587       140,767  

Innovage Holding Corp. *

    2,105       16,798  
   

    

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Inogen, Inc. *

    2,350       $ 29,328  

Inotiv, Inc. *

    2,565       11,106  

Inovio Pharmaceuticals, Inc. *

    26,993       22,134  

Instil Bio, Inc. *

    8,942       5,909  

Integer Holdings Corp. *

    41,383       3,207,182  

Intellia Therapeutics, Inc. *

    3,178       118,444  

Invitae Corp. *

    26,629       35,949  

Invivyd, Inc. *

    6,262       7,514  

Iovance Biotherapeutics, Inc. *

    16,770       102,465  

iTeos Therapeutics, Inc. *

    2,569       34,964  

Janux Therapeutics, Inc. *

    1,874       22,675  

John B Sanfilippo & Son, Inc.

    378       36,636  

John Wiley & Sons, Inc. Class A

    281       10,894  

Jounce Therapeutics, Inc. *

    3,799       7,028  

KalVista Pharmaceuticals, Inc. *

    2,637       20,727  

Kelly Services, Inc. Class A

    3,686       61,151  

Keros Therapeutics, Inc. *

    119       5,081  

Kezar Life Sciences, Inc. *

    5,748       17,991  

Kiniksa Pharmaceuticals Ltd. Class A *

    181       1,948  

Kinnate Biopharma, Inc. *

    2,956       18,475  

Kodiak Sciences, Inc. *

    3,617       22,425  

Krispy Kreme, Inc.

    5,781       89,895  

Kronos Bio, Inc. *

    5,035       7,351  

Krystal Biotech, Inc. *

    1,580       126,495  

Kura Oncology, Inc. *

    7,098       86,809  

Kymera Therapeutics, Inc. *

    4,185       124,002  

Lancaster Colony Corp.

    329       66,748  

Laureate Education, Inc.

    14,758       173,554  

Lexicon Pharmaceuticals, Inc. *

    5,089       12,366  

Lifecore Biomedical, Inc. *

    3,257       12,295  

LifeStance Health Group, Inc. *

    7,370       54,759  

Ligand Pharmaceuticals, Inc. *

    1,448       106,515  

Liquidia Corp. *

    1,709       11,809  

LivaNova PLC *

    1,389       60,533  

LiveRamp Holdings, Inc. *

    7,107       155,857  

Lyell Immunopharma, Inc. *

    18,894       44,590  

MacroGenics, Inc. *

    6,583       47,200  

MannKind Corp. *

    25,104       102,926  

Maple Leaf Foods, Inc. (Canada)

    108,368       2,096,799  

Marathon Digital Holdings, Inc. *

    12,784       111,476  

MarketWise, Inc. *

    2,246       4,155  

Matthews International Corp. Class A

    3,317       119,611  

MaxCyte, Inc. *

    9,624       47,639  

MeiraGTx Holdings PLC *

    3,463       17,904  

Merit Medical Systems, Inc. *

    855       63,227  

Mersana Therapeutics, Inc. *

    10,107       41,540  

MiMedx Group, Inc. *

    12,321       42,015  

Mineralys Therapeutics, Inc. *

    758       11,870  

Mission Produce, Inc. *

    3,865       42,940  

ModivCare, Inc. *

    952       80,044  

MoneyGram International, Inc. *

    10,394       108,305  

Moneylion, Inc. *

    11,685       6,635  

Monro, Inc.

    3,460       171,028  

Monte Rosa Therapeutics, Inc. *

    3,244       25,271  

Morphic Holding, Inc. *

    410       15,432  

Multiplan Corp. *

    41,266       43,742  

Myriad Genetics, Inc. *

    8,776       203,866  

Nano-X Imaging Ltd. * (Israel)

    4,546       26,230  

NanoString Technologies, Inc. *

    562       5,564  

National HealthCare Corp.

    1,373       79,730  

Natural Grocers by Vitamin Cottage, Inc.

    222       2,609  

Nature’s Sunshine Products, Inc. *

    1,476       15,070  

Nautilus Biotechnology, Inc. *

    5,704       15,800  

Nektar Therapeutics*

    19,817       13,929  

Neogen Corp. *

    1,919       35,540  

NeoGenomics, Inc. *

    13,879       241,633  

NGM Biopharmaceuticals, Inc. *

    2,062       8,413  

Nkarta, Inc. *

    3,236       11,488  

Nurix Therapeutics, Inc. *

    5,067       44,995  

Nuvalent, Inc. Class A *

    2,227       58,102  

Nuvation Bio, Inc. *

    12,501       20,752  

OmniAb, Inc. *

    7,380       27,158  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

116

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SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

OPKO Health, Inc. *

    44,088       $ 64,368  

OraSure Technologies, Inc. *

    7,839       47,426  

Orthofix Medical, Inc. *

    3,744       62,712  

Oscar Health, Inc. Class A *

    13,177       86,178  

Owens & Minor, Inc. *

    7,124       103,654  

P3 Health Partners, Inc. *

    884       937  

Pacific Biosciences of California, Inc. *

    27,340       316,597  

Pardes Biosciences, Inc. *

    3,463       4,571  

Patterson Cos., Inc.

    2,028       54,290  

Paysafe Ltd. *

    3,078       53,157  

Pediatrix Medical Group, Inc. *

    9,113       135,875  

PepGen, Inc. *

    1,230       15,043  

Perdoceo Education Corp. *

    7,411       99,530  

PetIQ, Inc. *

    679       7,768  

PFSweb, Inc.

    1,366       5,792  

PhenomeX, Inc. *

    7,113       8,251  

Phibro Animal Health Corp. Class A

    242       3,707  

PMV Pharmaceuticals, Inc. *

    4,022       19,185  

Point Biopharma Global, Inc. SPAC *

    613       4,457  

Praxis Precision Medicines, Inc. *

    4,464       3,611  

Precigen, Inc. *

    2,339       2,479  

Prestige Consumer Healthcare, Inc. *

    5,482       343,338  

Prime Medicine, Inc. *

    702       8,635  

Primo Water Corp.

    17,353       266,369  

PROG Holdings, Inc. *

    4,598       109,386  

Protagonist Therapeutics, Inc. *

    5,144       118,312  

Provention Bio, Inc. *

    1,066       25,691  

PTC Therapeutics, Inc. *

    1,888       91,455  

QinetiQ Group PLC (United Kingdom)

    366,187       1,471,133  

Quad/Graphics, Inc. *

    3,208       13,762  

Quanex Building Products Corp.

    3,697       79,596  

Quanterix Corp. *

    3,214       36,222  

Quantum-Si, Inc. *

    9,435       16,606  

Rallybio Corp. *

    582       3,323  

RAPT Therapeutics, Inc. *

    1,001       18,368  

Reata Pharmaceuticals, Inc. Class A *

    501       45,551  

Recursion Pharmaceuticals, Inc. Class A *

    13,792       91,993  

REGENXBIO, Inc. *

    4,386       82,939  

Relay Therapeutics, Inc. *

    8,675       142,877  

Relmada Therapeutics, Inc. *

    1,019       2,303  

Repay Holdings Corp. *

    9,568       62,862  

Replimune Group, Inc. *

    5,186       91,585  

Resources Connection, Inc.

    3,505       59,795  

REVOLUTION Medicines, Inc. *

    8,263       178,977  

Riot Platforms, Inc. *

    17,574       175,564  

Ritchie Bros Auctioneers, Inc. (Canada)

    31,544       1,775,612  

Rocket Pharmaceuticals, Inc. *

    6,205       106,292  

RxSight, Inc. *

    203       3,386  

Sabre Corp. *

    28,836       123,706  

Sage Therapeutics, Inc. *

    5,755       241,480  

Sana Biotechnology, Inc. *

    9,720       31,784  

Sangamo Therapeutics, Inc. *

    13,794       24,277  

Scilex Holding Co. * (Singapore)

    6,965       57,113  

Seer, Inc. *

    5,633       21,743  

Select Medical Holdings Corp.

    1,728       44,669  

Seneca Foods Corp. Class A *

    557       29,114  

Singular Genomics Systems, Inc. *

    6,914       8,366  

SomaLogic, Inc. *

    14,682       37,439  

SpartanNash Co.

    3,916       97,117  

Spire Global, Inc. *

    15,401       10,288  

SpringWorks Therapeutics, Inc. *

    3,236       83,295  

Sterling Check Corp. *

    223       2,486  

Stoke Therapeutics, Inc. *

    2,427       20,217  

StoneCo Ltd. Class A * (Brazil)

    14,732       140,543  

Strategic Education, Inc.

    2,503       224,844  

SunOpta, Inc. * (Canada)

    889       6,845  

Supernus Pharmaceuticals, Inc. *

    5,318       192,671  

Surgery Partners, Inc. *

    711       24,508  

Sutro Biopharma, Inc. *

    5,887       27,198  

Syndax Pharmaceuticals, Inc. *

    5,122       108,177  

Tactile Systems Technology, Inc. *

    1,389       22,807  

Talaris Therapeutics, Inc. *

    2,703       5,082  
   

    

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Value

 

Tango Therapeutics, Inc. *

    4,994       $ 19,726  

Tarsus Pharmaceuticals, Inc. *

    2,007       25,228  

Tattooed Chef, Inc. *

    999       1,419  

Tejon Ranch Co. *

    2,270       41,473  

Tenaya Therapeutics, Inc. *

    5,064       14,432  

Textainer Group Holdings Ltd. (China)

    4,142       133,000  

Theravance Biopharma, Inc. *

    817       8,864  

Theseus Pharmaceuticals, Inc. *

    2,014       17,884  

Third Harmonic Bio, Inc. *

    884       3,642  

Tootsie Roll Industries, Inc.

    217       9,727  

Travere Therapeutics, Inc. *

    570       12,819  

TreeHouse Foods, Inc. *

    5,603       282,559  

Triton International Ltd. (Bermuda)

    6,411       405,303  

TrueBlue, Inc. *

    3,514       62,549  

Twist Bioscience Corp. *

    1,803       27,189  

Tyra Biosciences, Inc. *

    1,448       23,269  

United Natural Foods, Inc. *

    6,152       162,105  

Universal Corp.

    2,677       141,587  

Utah Medical Products, Inc.

    11       1,042  

Utz Brands, Inc.

    1,026       16,898  

V2X, Inc. *

    1,313       52,152  

Vanda Pharmaceuticals, Inc. *

    6,041       41,018  

Varex Imaging Corp. *

    4,219       76,744  

Vaxart, Inc. *

    12,607       9,540  

VBI Vaccines, Inc. *

    24,264       7,352  

Vector Group Ltd.

    13,524       162,423  

Vera Therapeutics, Inc. *

    146       1,133  

Veracyte, Inc. *

    7,924       176,705  

Verve Therapeutics, Inc. *

    4,330       62,439  

Viad Corp. *

    2,219       46,244  

ViewRay, Inc. *

    2,040       7,058  

Village Super Market, Inc. Class A

    899       20,569  

Vintage Wine Estates, Inc. *

    3,345       3,579  

Vir Biotechnology, Inc. *

    8,005       186,276  

Viridian Therapeutics, Inc. *

    1,127       28,671  

Weis Markets, Inc.

    1,816       153,761  

Whole Earth Brands, Inc. *

    3,793       9,710  

Willdan Group, Inc. *

    1,082       16,901  

WillScot Mobile Mini Holdings Corp. *

    1,501       70,367  

WW International, Inc. *

    6,156       25,363  

Xencor, Inc. *

    6,352       177,157  

Zentalis Pharmaceuticals, Inc. *

    301       5,177  

Zimvie, Inc. *

    2,128       15,385  
   

 

 

 
    37,779,152  
   

 

 

 

Energy - 6.6%

 

Aemetis, Inc. *

    2,817       6,535  

Alto Ingredients, Inc. *

    7,726       11,589  

Amplify Energy Corp. *

    1,209       8,306  

Archrock, Inc.

    14,937       145,934  

Berry Corp.

    6,923       54,346  

Borr Drilling Ltd. * (United Arab Emirates)

    11,927       90,407  

Bristow Group, Inc. *

    2,551       57,142  

California Resources Corp.

    8,183       315,045  

Callon Petroleum Co. *

    908       30,364  

Chord Energy Corp.

    1,864       250,894  

Civitas Resources, Inc.

    8,134       555,878  

Cleanspark, Inc. *

    8,378       23,291  

CNX Resources Corp. *

    17,599       281,936  

CONSOL Energy, Inc.

    192       11,188  

Crescent Point Energy Corp. (Canada)

    578,699       4,084,934  

Diamond Offshore Drilling, Inc. *

    11,302       136,076  

DMC Global, Inc. *

    1,528       33,570  

Dril-Quip, Inc. *

    3,745       107,444  

Eneti, Inc.

    2,474       23,132  

Equitrans Midstream Corp.

    34,638       200,208  

Excelerate Energy, Inc. Class A

    2,026       44,856  

Expro Group Holdings NV *

    9,626       176,733  

FuelCell Energy, Inc. *

    12,272       34,975  

FutureFuel Corp.

    2,822       20,826  

Gevo, Inc. *

    21,496       33,104  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

117

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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Golar LNG Ltd. * (Cameroon)

    10,493       $ 226,649  

Green Plains, Inc. *

    105,602       3,272,606  

Helix Energy Solutions Group, Inc. *

    15,860       122,756  

Helmerich & Payne, Inc.

    11,385       407,014  

Hunting PLC (United Kingdom)

    181,209       527,553  

Kinetik Holdings, Inc.

    1,647       51,551  

Murphy Oil Corp.

    9,233       341,436  

Nabors Industries Ltd. *

    116       14,142  

NACCO Industries, Inc. Class A

    404       14,572  

National Energy Services Reunited Corp. *

    4,043       21,266  

Newpark Resources, Inc. *

    9,420       36,267  

NextDecade Corp. *

    696       3,459  

Noble Corp. PLC *

    7,626       300,998  

Northern Oil & Gas, Inc.

    1,089       33,051  

NOW, Inc. *

    12,275       136,866  

Oceaneering International, Inc. *

    1,027       18,106  

Oil States International, Inc. *

    6,875       57,269  

Patterson-UTI Energy, Inc.

    7,568       88,546  

PBF Energy, Inc. Class A

    10,081       437,112  

Peabody Energy Corp. *

    12,981       332,314  

Permian Resources Corp.

    22,560       236,880  

ProFrac Holding Corp. Class A *

    1,346       17,054  

ProPetro Holding Corp. *

    9,539       68,585  

REX American Resources Corp. *

    1,694       48,431  

Riley Exploration Permian, Inc.

    375       14,273  

Ring Energy, Inc. *

    6,757       12,838  

Select Energy Services, Inc. Class A

    7,798       54,274  

Stem, Inc. *

    970       5,500  

SunCoke Energy, Inc.

    9,101       81,727  

Sunnova Energy International, Inc. *

    10,983       171,554  

TechnipFMC PLC * (United Kingdom)

    151,572       2,068,958  

Tidewater, Inc. *

    5,137       226,439  

US Silica Holdings, Inc. *

    6,872       82,052  

Vertex Energy, Inc. *

    895       8,843  

W&T Offshore, Inc. *

    2,066       10,495  

Warrior Met Coal, Inc.

    5,090       186,854  
   

 

 

 
    16,477,003  
   

 

 

 

Financial - 30.2%

 

1st Source Corp.

    1,839       79,353  

Acadia Realty Trust REIT

    9,910       138,244  

ACNB Corp.

    883       28,742  

AFC Gamma, Inc. REIT

    1,647       20,028  

Agree Realty Corp. REIT

    9,620       660,028  

Alerus Financial Corp.

    1,789       28,713  

Alexander & Baldwin, Inc. REIT *

    78,012       1,475,207  

Amalgamated Financial Corp.

    1,928       34,106  

Ambac Financial Group, Inc. *

    4,917       76,115  

Amerant Bancorp, Inc.

    3,029       65,911  

American Assets Trust, Inc. REIT

    5,438       101,092  

American Equity Investment Life Holding Co.

    7,843       286,191  

American National Bankshares, Inc.

    1,133       35,916  

American Realty Investors, Inc. *

    134       3,527  

Ameris Bancorp

    7,103       259,828  

AMERISAFE, Inc.

    2,087       102,159  

Angel Oak Mortgage REIT, Inc. REIT

    1,082       7,899  

Anywhere Real Estate, Inc. *

    11,724       61,903  

Apartment Investment & Management Co. Class A REIT

    16,555       127,308  

Apollo Commercial Real Estate Finance, Inc. REIT

    15,570       144,957  

Apple Hospitality REIT, Inc.

    23,815       369,609  

Applied Digital Corp. *

    5,027       11,260  

Arbor Realty Trust, Inc. REIT

    18,212       209,256  

Ares Commercial Real Estate Corp. REIT

    5,606       50,959  

Argo Group International Holdings Ltd.

    3,527       103,306  

Armada Hoffler Properties, Inc. REIT

    7,330       86,567  

ARMOUR Residential REIT, Inc.

    17,713       92,993  

Arrow Financial Corp.

    1,685       41,973  

Artisan Partners Asset Management, Inc. Class A

    2,277       72,818  

Ashford Hospitality Trust, Inc. REIT *

    3,200       10,272  

AssetMark Financial Holdings, Inc. *

    2,353       74,002  
   

    

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Value

 

Associated Banc-Corp.

    16,751       $ 301,183  

Associated Capital Group, Inc. Class A

    148       5,469  

Atlantic Union Bankshares Corp.

    35,066       1,229,063  

Atlanticus Holdings Corp. *

    224       6,077  

Axos Financial, Inc. *

    5,530       204,168  

Banc of California, Inc.

    5,663       70,957  

BancFirst Corp.

    897       74,541  

Banco Latinoamericano de Comercio Exterior SA (Panama)

    3,004       52,210  

Bancorp, Inc. *

    2,450       68,233  

Bank First Corp.

    844       62,102  

Bank of Marin Bancorp

    1,904       41,679  

Bank of NT Butterfield & Son Ltd. (Bermuda)

    5,210       140,670  

BankUnited, Inc.

    8,095       182,785  

Bankwell Financial Group, Inc.

    752       18,695  

Banner Corp.

    3,669       199,484  

Bar Harbor Bankshares

    1,614       42,690  

BayCom Corp.

    1,223       20,889  

BCB Bancorp, Inc.

    1,825       23,962  

Berkshire Hills Bancorp, Inc.

    4,531       113,547  

BGC Partners, Inc. Class A

    34,752       181,753  

Blackstone Mortgage Trust, Inc. Class A REIT

    18,985       338,882  

Blue Foundry Bancorp *

    2,763       26,304  

Blue Ridge Bankshares, Inc.

    1,859       18,962  

Bluerock Homes Trust, Inc. REIT *

    295       5,847  

Braemar Hotels & Resorts, Inc. REIT

    7,025       27,117  

Brandywine Realty Trust REIT

    18,538       87,685  

Bread Financial Holdings, Inc.

    16,981       514,864  

Bridgewater Bancshares, Inc. *

    1,774       19,230  

Brightsphere Investment Group, Inc.

    239       5,636  

BrightSpire Capital, Inc. REIT

    10,234       60,381  

Broadmark Realty Capital, Inc. REIT

    14,220       66,834  

Broadstone Net Lease, Inc. REIT

    18,995       323,105  

Brookfield Business Corp. Class A (Canada)

    377       7,472  

Brookline Bancorp, Inc.

    8,972       94,206  

BRT Apartments Corp. REIT

    1,435       28,298  

Business First Bancshares, Inc.

    2,837       48,598  

Byline Bancorp, Inc.

    2,935       63,455  

Cadence Bank

    18,319       380,302  

Cambridge Bancorp

    746       48,348  

Camden National Corp.

    25,249       913,761  

Cannae Holdings, Inc. *

    7,820       157,808  

Capital Bancorp, Inc.

    982       16,340  

Capital City Bank Group, Inc.

    1,477       43,291  

Capitol Federal Financial, Inc.

    13,924       93,709  

Capstar Financial Holdings, Inc.

    2,221       33,648  

CareTrust REIT, Inc.

    10,148       198,698  

Carter Bankshares, Inc. *

    2,603       36,442  

Cathay General Bancorp

    7,845       270,809  

CBL & Associates Properties, Inc. REIT

    2,437       62,485  

Centerspace REIT

    1,645       89,866  

Central Pacific Financial Corp.

    2,917       52,214  

Chatham Lodging Trust REIT

    5,235       54,915  

Chicago Atlantic Real Estate Finance, Inc.

    680       9,187  

Chimera Investment Corp. REIT

    26,234       147,960  

Citizens & Northern Corp.

    1,813       38,762  

City Holding Co.

    1,569       142,591  

City Office REIT, Inc.

    4,252       29,339  

Civista Bancshares, Inc.

    1,873       31,616  

Claros Mortgage Trust, Inc. REIT

    10,177       118,562  

Clipper Realty, Inc. REIT

    46       264  

CNB Financial Corp.

    2,455       47,136  

CNO Financial Group, Inc.

    73,993       1,641,905  

Colony Bankcorp, Inc.

    1,787       18,227  

Columbia Banking System, Inc.

    117,071       2,507,661  

Columbia Financial, Inc. *

    2,616       47,820  

Community Bank System, Inc.

    5,731       300,820  

Community Healthcare Trust, Inc. REIT

    1,061       38,833  

Community Trust Bancorp, Inc.

    1,805       68,500  

Compass Diversified Holdings

    6,863       130,946  

ConnectOne Bancorp, Inc.

    4,054       71,675  

Consumer Portfolio Services, Inc. *

    879       9,397  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

118

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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Value

 

Corporate Office Properties Trust REIT

    10,944       $259,482  

Crawford & Co. Class A

    1,578       13,192  

CrossFirst Bankshares, Inc. *

    4,873       51,069  

Cryptyde, Inc. *

    960       80  

CTO Realty Growth, Inc. REIT

    2,494       43,046  

Curo Group Holdings Corp.

    738       1,277  

Cushman & Wakefield PLC *

    22,911       241,482  

Customers Bancorp, Inc. *

    3,333       61,727  

CVB Financial Corp.

    14,310       238,691  

DiamondRock Hospitality Co. REIT

    23,098       187,787  

Dime Community Bancshares, Inc.

    3,563       80,951  

Diversified Healthcare Trust REIT

    25,976       35,068  

Doma Holdings, Inc. *

    15,706       6,400  

Donegal Group, Inc. Class A

    1,699       25,961  

Douglas Elliman, Inc.

    7,590       23,605  

Dynex Capital, Inc. REIT

    5,803       70,332  

Eagle Bancorp, Inc.

    3,283       109,882  

Easterly Government Properties, Inc. REIT

    10,040       137,950  

Eastern Bankshares, Inc.

    13,692       172,793  

eHealth, Inc. *

    2,162       20,236  

Ellington Financial, Inc. REIT

    6,925       84,554  

Elme Communities REIT

    9,351       167,009  

Empire State Realty Trust, Inc. Class A REIT

    14,531       94,306  

Employers Holdings, Inc.

    2,883       120,192  

Enact Holdings, Inc.

    3,339       76,330  

Encore Capital Group, Inc. *

    2,576       129,959  

Enova International, Inc. *

    3,387       150,484  

Enstar Group Ltd. *

    1,251       289,969  

Enterprise Bancorp, Inc.

    1,131       35,581  

Enterprise Financial Services Corp.

    4,008       178,717  

Equity Bancshares, Inc. Class A

    1,642       40,016  

Equity Commonwealth REIT

    11,547       239,138  

Esquire Financial Holdings, Inc.

    137       5,357  

Essent Group Ltd.

    11,711       469,026  

Essential Properties Realty Trust, Inc. REIT

    14,111       350,658  

EZCORP, Inc. Class A *

    5,356       46,062  

Farmers & Merchants Bancorp, Inc.

    946       23,007  

Farmers National Banc Corp.

    3,813       48,196  

Farmland Partners, Inc. REIT

    5,452       58,336  

FB Financial Corp.

    4,128       128,298  

Federal Agricultural Mortgage Corp. Class C

    1,009       134,389  

Finance Of America Cos., Inc. Class A *

    4,239       5,256  

Financial Institutions, Inc.

    1,650       31,812  

First BanCorp

    17,921       204,658  

First Bancorp, Inc.

    1,195       30,939  

First Bancorp/Southern Pines NC

    16,172       574,429  

First Bancshares, Inc.

    2,909       75,139  

First Bank

    1,783       18,008  

First Busey Corp.

    5,936       120,738  

First Business Financial Services, Inc.

    979       29,869  

First Commonwealth Financial Corp.

    10,836       134,691  

First Community Bankshares, Inc.

    1,723       43,161  

First Financial Bancorp

    10,003       217,765  

First Financial Corp.

    1,320       49,474  

First Foundation, Inc.

    5,586       41,616  

First Guaranty Bancshares, Inc.

    525       8,227  

First Internet Bancorp

    886       14,752  

First Interstate BancSystem, Inc. Class A

    99,404       2,968,203  

First Merchants Corp.

    6,471       213,219  

First Mid Bancshares, Inc.

    2,035       55,393  

First of Long Island Corp.

    9,011       121,648  

First Western Financial, Inc. *

    862       17,068  

Five Star Bancorp

    891       19,014  

Flushing Financial Corp.

    3,390       50,477  

Four Corners Property Trust, Inc. REIT

    8,362       224,603  

Franklin BSP Realty Trust, Inc. REIT

    9,062       108,110  

Franklin Street Properties Corp. REIT

    10,751       16,879  

FRP Holdings, Inc. *

    732       42,368  

Fulton Financial Corp.

    18,169       251,096  

FVCBankcorp, Inc. *

    1,543       16,433  

GCM Grosvenor, Inc. Class A

    624       4,873  

Genworth Financial, Inc. Class A *

    53,118       266,652  
   

    

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Value

 

German American Bancorp, Inc.

    33,533       $1,118,996  

Getty Realty Corp. REIT

    4,508       162,423  

Glacier Bancorp, Inc.

    10,729       450,725  

Gladstone Commercial Corp. REIT

    415       5,241  

Gladstone Land Corp. REIT

    1,612       26,840  

Global Medical REIT, Inc.

    6,665       60,718  

Global Net Lease, Inc. REIT

    11,596       149,125  

Goosehead Insurance, Inc. Class A *

    245       12,789  

Granite Point Mortgage Trust, Inc. REIT

    5,671       28,128  

Great Southern Bancorp, Inc.

    1,019       51,643  

Greenlight Capital Re Ltd. Class A *

    2,854       26,799  

Guaranty Bancshares, Inc.

    1,014       28,260  

Hancock Whitney Corp.

    9,492       345,509  

Hanmi Financial Corp.

    3,306       61,392  

Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT

    9,013       257,772  

Hanover Insurance Group, Inc.

    29,048       3,732,668  

HarborOne Bancorp, Inc.

    4,780       58,316  

HBT Financial, Inc.

    1,416       27,924  

Heartland Financial USA, Inc.

    4,674       179,295  

Heritage Commerce Corp.

    6,845       57,019  

Heritage Financial Corp.

    3,778       80,849  

Hersha Hospitality Trust REIT

    3,241       21,780  

Highwoods Properties, Inc. REIT

    23,327       540,953  

Hilltop Holdings, Inc.

    5,602       166,211  

Hingham Institution For Savings

    164       38,284  

Hippo Holdings, Inc. *

    1,876       30,447  

Home Bancorp, Inc.

    798       26,358  

Home BancShares, Inc.

    20,883       453,370  

Home Point Capital, Inc.

    1,000       1,930  

HomeStreet, Inc.

    1,961       35,278  

HomeTrust Bancshares, Inc.

    1,431       35,188  

Hope Bancorp, Inc.

    12,333       121,110  

Horace Mann Educators Corp.

    60,521       2,026,243  

Horizon Bancorp, Inc.

    4,720       52,203  

Independence Realty Trust, Inc. REIT

    24,895       399,067  

Independent Bank Corp.

    4,918       322,719  

Independent Bank Corp. MI

    2,197       39,041  

Independent Bank Group, Inc.

    3,941       182,665  

Indus Realty Trust, Inc. REIT

    583       38,647  

Industrial Logistics Properties Trust REIT

    6,721       20,633  

International Bancshares Corp.

    5,961       255,250  

InvenTrust Properties Corp. REIT

    7,477       174,962  

Invesco Mortgage Capital, Inc. REIT

    3,886       43,096  

Investors Title Co.

    118       17,818  

iStar, Inc. REIT *

    2,664       78,248  

Jackson Financial, Inc. Class A

    8,261       309,044  

James River Group Holdings Ltd.

    4,015       82,910  

John Marshall Bancorp, Inc.

    1,261       27,238  

Kearny Financial Corp.

    6,495       52,739  

Kennedy-Wilson Holdings, Inc.

    13,005       215,753  

Kite Realty Group Trust REIT

    24,016       502,415  

KKR Real Estate Finance Trust, Inc. REIT

    6,327       72,065  

Ladder Capital Corp. REIT

    12,025       113,636  

Lakeland Bancorp, Inc.

    7,215       112,843  

Lakeland Financial Corp.

    204       12,779  

Legacy Housing Corp. *

    1,004       22,851  

Lemonade, Inc. *

    5,359       76,419  

LendingClub Corp. *

    10,927       78,784  

Live Oak Bancshares, Inc.

    747       18,204  

LTC Properties, Inc. REIT

    4,426       155,485  

Luther Burbank Corp.

    1,979       18,761  

LXP Industrial Trust REIT

    29,967       308,960  

Macatawa Bank Corp.

    3,214       32,847  

Macerich Co. REIT

    23,719       251,421  

MBIA, Inc. *

    5,245       48,569  

McGrath RentCorp

    32,054       2,990,959  

Mercantile Bank Corp.

    1,808       55,289  

Merchants Bancorp

    1,718       44,737  

Mercury General Corp.

    2,922       92,744  

Metrocity Bankshares, Inc.

    1,540       26,319  

Metropolitan Bank Holding Corp. *

    1,043       35,347  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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MFA Financial, Inc. REIT

    11,551       $114,586  

Mid Penn Bancorp, Inc.

    1,697       43,460  

Midland States Bancorp, Inc.

    2,312       49,523  

MidWestOne Financial Group, Inc.

    1,545       37,729  

Moelis & Co. Class A

    3,584       137,769  

Mr Cooper Group, Inc. *

    7,649       313,380  

MVB Financial Corp.

    1,215       25,078  

National Bank Holdings Corp. Class A

    2,865       95,863  

National Health Investors, Inc. REIT

    4,632       238,919  

National Western Life Group, Inc. Class A

    248       60,170  

Navient Corp.

    11,289       180,511  

NBT Bancorp, Inc.

    4,469       150,650  

Necessity Retail REIT, Inc. REIT

    14,595       91,657  

Nelnet, Inc. Class A

    1,597       146,748  

NETSTREIT Corp. REIT

    6,094       111,398  

New York Mortgage Trust, Inc. REIT *

    10,103       100,626  

Newmark Group, Inc. Class A

    13,667       96,762  

Nexpoint Real Estate Finance, Inc. REIT

    898       14,072  

NexPoint Residential Trust, Inc. REIT

    145       6,332  

NI Holdings, Inc. *

    882       11,466  

Nicolet Bankshares, Inc. *

    1,247       78,623  

NMI Holdings, Inc. Class A *

    8,511       190,051  

Northeast Bank

    783       26,356  

Northfield Bancorp, Inc.

    4,663       54,930  

Northwest Bancshares, Inc.

    12,995       156,330  

OceanFirst Financial Corp.

    6,696       123,742  

Office Properties Income Trust REIT

    5,235       64,391  

OFG Bancorp

    4,954       123,553  

Old National Bancorp

    32,608       470,207  

Old Second Bancorp, Inc.

    4,626       65,042  

One Liberty Properties, Inc. REIT

    1,782       40,861  

Oportun Financial Corp. *

    3,586       13,842  

Oppenheimer Holdings, Inc. Class A

    861       33,708  

OppFi, Inc. *

    63       129  

Orchid Island Capital, Inc. REIT

    4,374       46,933  

Origin Bancorp, Inc.

    2,594       83,397  

Orion Office REIT, Inc. REIT

    6,216       41,647  

Orrstown Financial Services, Inc.

    1,041       20,674  

Pacific Premier Bancorp, Inc.

    10,063       241,713  

Paramount Group, Inc. REIT

    20,453       93,266  

Park National Corp.

    1,580       187,341  

Parke Bancorp, Inc.

    1,104       19,629  

Pathward Financial, Inc.

    2,075       86,092  

PCB Bancorp

    1,166       16,895  

Peapack-Gladstone Financial Corp.

    2,059       60,988  

Pebblebrook Hotel Trust REIT

    13,926       195,521  

PennyMac Financial Services, Inc.

    2,974       177,280  

PennyMac Mortgage Investment Trust REIT

    7,841       96,680  

Peoples Bancorp, Inc.

    46,852       1,206,439  

Peoples Financial Services Corp.

    764       33,119  

Perella Weinberg Partners

    454       4,131  

Physicians Realty Trust REIT

    25,083       374,489  

Piedmont Office Realty Trust, Inc. Class A REIT

    14,127       103,127  

Pioneer Bancorp, Inc. *

    1,373       13,538  

Piper Sandler Cos.

    1,925       266,824  

Plymouth Industrial REIT, Inc. REIT

    4,115       86,456  

Postal Realty Trust, Inc. Class A REIT

    823       12,526  

PotlatchDeltic Corp. REIT

    7,947       393,376  

PRA Group, Inc. *

    4,263       166,086  

Preferred Bank

    787       43,135  

Premier Financial Corp.

    4,073       84,433  

Primis Financial Corp.

    2,831       27,263  

ProAssurance Corp.

    5,888       108,810  

Provident Bancorp, Inc.

    1,742       11,915  

Provident Financial Services, Inc.

    7,815       149,892  

QCR Holdings, Inc.

    1,729       75,920  

Radian Group, Inc.

    16,900       373,490  

Radius Global Infrastructure, Inc. Class A *

    8,458       124,079  

RBB Bancorp

    1,760       27,280  

RE/MAX Holdings, Inc. Class A

    1,941       36,413  

Ready Capital Corp. REIT

    7,816       79,489  

Red River Bancshares, Inc.

    476       22,900  
   

    

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Redwood Trust, Inc. REIT

    12,371       $ 83,381  

Regional Management Corp.

    827       21,576  

Renasant Corp.

    5,867       179,413  

Republic Bancorp, Inc. Class A

    950       40,309  

Republic First Bancorp, Inc. *

    6,542       8,897  

Retail Opportunity Investments Corp. REIT

    13,745       191,880  

RLJ Lodging Trust REIT

    18,021       191,023  

RMR Group, Inc. Class A

    700       18,368  

Root, Inc. Class A *

    993       4,478  

RPT Realty REIT

    9,227       87,749  

Ryman Hospitality Properties, Inc. REIT

    5,936       532,637  

S&T Bancorp, Inc.

    4,160       130,832  

Sabra Health Care REIT, Inc.

    25,567       294,020  

Safety Insurance Group, Inc.

    1,506       112,227  

Sandy Spring Bancorp, Inc.

    5,010       130,160  

Saul Centers, Inc. REIT

    161       6,279  

Sculptor Capital Management, Inc.

    1,395       12,011  

Seacoast Banking Corp. of Florida

    24,996       592,405  

Selective Insurance Group, Inc.

    13,739       1,309,739  

Selectquote, Inc. *

    14,784       32,081  

Service Properties Trust REIT

    18,087       180,147  

Shore Bancshares, Inc.

    2,208       31,530  

Sierra Bancorp

    1,700       29,274  

Simmons First National Corp. Class A

    13,052       228,279  

SiriusPoint Ltd. * (Bermuda)

    9,236       75,089  

SITE Centers Corp. REIT

    21,380       262,546  

Skyward Specialty Insurance Group, Inc. *

    917       20,055  

SmartFinancial, Inc.

    1,877       43,434  

South Plains Financial, Inc.

    1,227       26,270  

Southern First Bancshares, Inc. *

    828       25,420  

Southern Missouri Bancorp, Inc.

    930       34,791  

Southside Bancshares, Inc.

    3,176       105,443  

SouthState Corp.

    46,349       3,302,830  

STAG Industrial, Inc. REIT

    50,278       1,700,402  

Star Holdings *

    1,475       25,650  

Stellar Bancorp, Inc.

    5,083       125,093  

Sterling Bancorp, Inc. *

    1,711       9,684  

Stewart Information Services Corp.

    2,930       118,225  

Stock Yards Bancorp, Inc.

    491       27,074  

StoneX Group, Inc. *

    1,766       182,834  

Stratus Properties, Inc.

    727       14,540  

Summit Financial Group, Inc.

    1,215       25,211  

Summit Hotel Properties, Inc. REIT

    11,441       80,087  

Sunlight Financial Holdings, Inc. *

    3,199       999  

Sunstone Hotel Investors, Inc. REIT

    224,795       2,220,975  

SWK Holdings Corp. *

    437       7,805  

Terreno Realty Corp. REIT

    8,864       572,614  

Texas Capital Bancshares, Inc. *

    5,418       265,265  

Third Coast Bancshares, Inc. *

    1,246       19,575  

Tiptree, Inc.

    2,705       39,412  

Tompkins Financial Corp.

    1,516       100,374  

Towne Bank

    7,785       207,470  

TPG RE Finance Trust, Inc. REIT

    7,529       54,661  

Transcontinental Realty Investors, Inc. REIT *

    82       3,476  

Trean Insurance Group, Inc. *

    2,366       14,480  

TriCo Bancshares

    29,111       1,210,726  

Triumph Financial, Inc. *

    1,582       91,851  

TrustCo Bank Corp.

    2,048       65,413  

Trustmark Corp.

    6,555       161,908  

Two Harbors Investment Corp. REIT

    10,673       157,000  

UMB Financial Corp.

    4,849       279,884  

UMH Properties, Inc. REIT

    934       13,814  

United Bankshares, Inc.

    14,014       493,293  

United Community Banks, Inc.

    11,410       320,849  

United Fire Group, Inc.

    2,332       61,915  

Uniti Group, Inc. REIT

    25,918       92,009  

Unity Bancorp, Inc.

    778       17,746  

Universal Insurance Holdings, Inc.

    2,313       42,143  

Univest Financial Corp.

    3,337       79,220  

Urban Edge Properties REIT

    13,002       195,810  

Urstadt Biddle Properties, Inc. Class A REIT

    3,119       54,801  

USCB Financial Holdings, Inc. *

    1,135       11,225  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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Valley National Bancorp

    47,957       $ 443,123  

Velocity Financial, Inc. *

    901       8,136  

Veris Residential, Inc. REIT *

    9,548       139,783  

Veritex Holdings, Inc.

    4,882       89,145  

Victory Capital Holdings, Inc. Class A

    1,364       39,924  

Virtus Investment Partners, Inc.

    655       124,705  

Walker & Dunlop, Inc.

    1,022       77,846  

Washington Federal, Inc.

    6,955       209,485  

Washington Trust Bancorp, Inc.

    2,013       69,771  

Waterstone Financial, Inc.

    2,066       31,259  

WesBanco, Inc.

    6,309       193,686  

West BanCorp, Inc.

    1,421       25,962  

Westamerica BanCorp

    2,134       94,536  

Whitestone REIT

    5,108       46,994  

World Acceptance Corp. *

    119       9,912  

WSFS Financial Corp.

    58,054       2,183,411  

Xenia Hotels & Resorts, Inc. REIT

    12,226       160,038  
   

 

 

 
    76,040,779  
   

 

 

 

Industrial - 15.8%

 

908 Devices, Inc. *

    1,721       14,801  

AAR Corp. *

    3,645       198,835  

Aerojet Rocketdyne Holdings, Inc. *

    2,170       121,889  

AerSale Corp. *

    2,823       48,612  

Air Transport Services Group, Inc. *

    3,926       81,779  

Akoustis Technologies, Inc. *

    118       363  

Alamo Group, Inc.

    165       30,386  

Albany International Corp. Class A

    2,769       247,438  

Allied Motion Technologies, Inc.

    103       3,981  

American Woodmark Corp. *

    1,703       88,675  

AMMO, Inc. *

    8,916       17,565  

Apogee Enterprises, Inc.

    12,359       534,527  

ArcBest Corp.

    1,807       167,003  

Archer Aviation, Inc. Class A *

    15,832       45,280  

Arcosa, Inc.

    5,332       336,503  

Ardmore Shipping Corp. (Ireland)

    4,465       66,395  

Argan, Inc.

    1,399       56,618  

Astec Industries, Inc.

    9,741       401,816  

Astra Space, Inc. *

    18,411       7,825  

Astronics Corp. *

    2,796       37,355  

Atlas Technical Consultants, Inc. *

    750       9,143  

Barnes Group, Inc.

    5,455       219,727  

Belden, Inc.

    2,188       189,853  

Benchmark Electronics, Inc.

    60,770       1,439,641  

Boise Cascade Co.

    3,454       218,465  

Brady Corp. Class A

    1,179       63,348  

Caesarstone Ltd.

    2,163       8,933  

Centrus Energy Corp. Class A *

    1,106       35,613  

Chase Corp.

    619       64,828  

CIRCOR International, Inc. *

    1,439       44,782  

Clearwater Paper Corp. *

    1,826       61,025  

Coherent Corp. *

    79,292       3,019,439  

Columbus McKinnon Corp.

    40,507       1,505,240  

Comtech Telecommunications Corp.

    2,826       35,268  

Concrete Pumping Holdings, Inc. *

    2,786       18,945  

Costamare, Inc. (Monaco)

    5,769       54,286  

Covenant Logistics Group, Inc.

    1,016       35,987  

CryoPort, Inc. *

    833       19,992  

CTS Corp.

    1,781       88,088  

DHT Holdings, Inc.

    15,084       163,058  

Dorian LPG Ltd.

    3,354       66,879  

Ducommun, Inc. *

    1,209       66,144  

DXP Enterprises, Inc. *

    1,663       44,768  

Eagle Bulk Shipping, Inc.

    1,466       66,703  

Eastman Kodak Co. *

    6,242       25,592  

Encore Wire Corp.

    1,948       361,023  

EnerSys

    4,001       347,607  

EnPro Industries, Inc.

    2,300       238,947  

ESCO Technologies, Inc.

    2,583       246,547  

ESS Tech, Inc. *

    1,074       1,493  

Evolv Technologies Holdings, Inc. *

    9,155       28,564  
   

    

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Value

 

FARO Technologies, Inc. *

    1,900       $ 46,759  

Fathom Digital Manufacturing C Class A *

    1,446       785  

FLEX LNG Ltd. * (Norway)

    3,173       106,549  

Fluor Corp. *

    1,352       41,790  

Frontdoor, Inc. *

    9,120       254,266  

Frontline PLC (Norway)

    13,726       227,303  

GATX Corp.

    3,643       400,803  

Genco Shipping & Trading Ltd.

    4,004       62,703  

Gibraltar Industries, Inc. *

    3,473       168,440  

Golden Ocean Group Ltd. * (Norway)

    13,542       128,920  

GoPro, Inc. Class A *

    14,633       73,604  

Gorman-Rupp Co.

    2,032       50,800  

Granite Construction, Inc.

    4,890       200,881  

Great Lakes Dredge & Dock Corp. *

    5,396       29,300  

Greenbrier Cos., Inc.

    30,756       989,421  

Greif, Inc. Class A

    2,372       150,314  

Greif, Inc. Class B

    482       36,883  

Griffon Corp.

    2,338       74,839  

Harsco Corp. *

    8,578       58,588  

Heartland Express, Inc.

    5,102       81,224  

Heritage-Crystal Clean, Inc. *

    1,712       60,964  

Hillenbrand, Inc.

    3,812       181,184  

Hillman Solutions Corp. *

    14,947       125,854  

Hub Group, Inc. Class A *

    3,554       298,323  

Hydrofarm Holdings Group, Inc. *

    5,642       9,761  

Hyster-Yale Materials Handling, Inc.

    1,184       59,070  

Ichor Holdings Ltd. *

    3,064       100,315  

IES Holdings, Inc. *

    305       13,142  

Insteel Industries, Inc.

    2,491       69,300  

International Seaways, Inc.

    5,362       223,488  

Itron, Inc. *

    4,599       255,015  

JELD-WEN Holding, Inc. *

    5,739       72,656  

Joby Aviation, Inc. *

    2,206       9,574  

Kaman Corp.

    3,061       69,974  

Kennametal, Inc.

    9,027       248,965  

Kimball Electronics, Inc. *

    2,618       63,094  

Knowles Corp. *

    139,683       2,374,611  

Kratos Defense & Security Solutions, Inc. *

    13,742       185,242  

Li-Cycle Holdings Corp. * (Canada)

    9,209       51,847  

Luxfer Holdings PLC (United Kingdom)

    1,720       29,068  

Manitowoc Co., Inc. *

    3,790       64,771  

Marten Transport Ltd.

    1,624       34,023  

Masonite International Corp. *

    14,563       1,321,884  

Materion Corp.

    126       14,616  

Matson, Inc.

    4,135       246,735  

Mirion Technologies, Inc. *

    15,135       129,253  

Modine Manufacturing Co. *

    5,488       126,498  

Momentus, Inc. *

    4,527       2,648  

Moog, Inc. Class A

    2,626       264,569  

Mueller Industries, Inc.

    3,935       289,144  

National Presto Industries, Inc.

    560       40,370  

NEXTracker, Inc. Class A *

    408       14,794  

NL Industries, Inc.

    952       5,769  

nLight, Inc. *

    4,852       49,393  

Nordic American Tankers Ltd.

    22,418       88,775  

Northwest Pipe Co. *

    834       26,046  

NuScale Power Corp. *

    3,423       31,115  

O-I Glass, Inc. *

    3,176       72,127  

Olympic Steel, Inc.

    1,048       54,716  

OSI Systems, Inc. *

    1,580       161,729  

Pactiv Evergreen, Inc.

    4,721       37,768  

Park Aerospace Corp.

    2,105       28,312  

Plexus Corp. *

    438       42,736  

Powell Industries, Inc.

    998       42,505  

Primoris Services Corp.

    51,574       1,271,815  

Proto Labs, Inc. *

    2,488       82,477  

PureCycle Technologies, Inc. *

    2,285       15,995  

Radiant Logistics, Inc. *

    2,816       18,473  

Ranpak Holdings Corp. *

    4,843       25,280  

RBC Bearings, Inc. *

    2,691       626,276  

Redwire Corp. *

    1,392       4,218  

Regal Rexnord Corp.

    13,980       1,967,405  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

121

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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Value

 

Ryerson Holding Corp.

    12,866       $ 468,065  

Safe Bulkers, Inc. (Greece)

    7,469       27,561  

Saia, Inc. *

    3,584       975,135  

Sanmina Corp. *

    6,279       382,956  

Scorpio Tankers, Inc. (Monaco)

    5,179       291,629  

Senior PLC (United Kingdom)

    126,925       245,822  

SFL Corp. Ltd. (Norway)

    12,647       120,147  

Sight Sciences, Inc. *

    2,143       18,730  

Smith & Wesson Brands, Inc.

    4,627       56,958  

SPX Technologies, Inc. *

    4,822       340,337  

Standex International Corp.

    1,314       160,886  

Stantec, Inc. (Canada)

    31,013       1,813,050  

Sterling Infrastructure, Inc. *

    506       19,167  

Stoneridge, Inc. *

    2,433       45,497  

Sturm Ruger & Co., Inc.

    178       10,224  

Summit Materials, Inc. Class A *

    77,694       2,213,502  

Teekay Corp. * (Bermuda)

    7,534       46,560  

Teekay Tankers Ltd. Class A * (Canada)

    2,497       107,196  

Tennant Co.

    1,127       77,233  

Terex Corp.

    3,746       181,231  

Thermon Group Holdings, Inc. *

    3,617       90,136  

Timken Co.

    5,199       424,862  

TimkenSteel Corp. *

    4,832       88,619  

Tredegar Corp.

    2,969       27,107  

TriMas Corp.

    4,649       129,521  

Trinity Industries, Inc.

    7,723       188,132  

Triumph Group, Inc. *

    6,995       81,072  

TTM Technologies, Inc. *

    11,202       151,115  

Turtle Beach Corp. *

    404       4,048  

Tutor Perini Corp. *

    4,593       28,339  

UFP Industries, Inc.

    42,266       3,358,879  

Universal Logistics Holdings, Inc.

    251       7,317  

View, Inc. *

    15,507       7,754  

Vishay Intertechnology, Inc.

    14,279       322,991  

Vishay Precision Group, Inc. *

    1,357       56,668  

Werner Enterprises, Inc.

    6,154       279,945  

Worthington Industries, Inc.

    3,479       224,917  

Zurn Elkay Water Solutions Corp.

    24,349       520,095  
   

 

 

 
    39,778,831  
   

 

 

 

Technology - 6.0%

 

3D Systems Corp. *

    14,179       151,999  

ACI Worldwide, Inc. *

    180,858       4,879,549  

ACM Research, Inc. Class A *

    4,534       53,048  

ACV Auctions, Inc. Class A *

    6,576       84,896  

Adeia, Inc.

    11,522       102,085  

Alpha & Omega Semiconductor Ltd. *

    483       13,017  

American Software, Inc. Class A

    975       12,295  

Amkor Technology, Inc.

    8,924       232,202  

Avid Technology, Inc. *

    1,413       45,188  

AvidXchange Holdings, Inc. *

    1,621       12,644  

AXT, Inc. *

    4,161       16,561  

Bandwidth, Inc. Class A *

    2,049       31,145  

Blackbaud, Inc. *

    268       18,572  

Blend Labs, Inc. Class A *

    20,672       20,593  

Brightcove, Inc. *

    1,489       6,626  

C3.ai, Inc. Class A *

    5,361       179,969  

Cantaloupe, Inc. *

    2,498       14,239  

Cardlytics, Inc. *

    3,708       12,589  

Cerence, Inc. *

    4,494       126,236  

Cohu, Inc. *

    54,718       2,100,624  

Computer Programs & Systems, Inc. *

    1,531       46,236  

Conduent, Inc. *

    18,540       63,592  

Consensus Cloud Solutions, Inc. *

    1,072       36,544  

Corsair Gaming, Inc. *

    1,944       35,672  

Cvent Holding Corp. *

    5,013       41,909  

Daily Journal Corp. *

    132       37,615  

Desktop Metal, Inc. Class A *

    29,275       67,332  

Diebold Nixdorf, Inc. *

    2,260       2,712  

Digi International, Inc. *

    2,510       84,537  

Digimarc Corp. *

    96       1,886  
   

    

Shares

   

Value

 

Diodes, Inc. *

    1,287       $ 119,382  

Donnelley Financial Solutions, Inc. *

    2,637       107,748  

E2open Parent Holdings, Inc. *

    22,280       129,670  

Ebix, Inc.

    2,268       29,915  

eGain Corp. *

    1,396       10,596  

EverCommerce, Inc. *

    2,269       24,006  

Faraday Future Intelligent Electric, Inc. *

    28,056       9,935  

Fastly, Inc. Class A *

    12,549       222,870  

ForgeRock, Inc. Class A *

    1,345       27,707  

Health Catalyst, Inc. *

    5,990       69,903  

Impinj, Inc. *

    216       29,272  

Insight Enterprises, Inc. *

    538       76,912  

Inspired Entertainment, Inc. *

    892       11,409  

Instructure Holdings, Inc. *

    1,625       42,087  

Integral Ad Science Holding Corp. *

    2,819       40,227  

IonQ, Inc. *

    11,407       70,153  

Kaleyra, Inc. * (Italy)

    1,013       1,671  

Latch, Inc. *

    8,948       6,819  

LiveVox Holdings, Inc. *

    1,828       5,649  

Markforged Holding Corp. *

    9,299       8,916  

Matterport, Inc. *

    6,636       18,116  

Maximus, Inc.

    370       29,119  

MicroStrategy, Inc. Class A *

    438       128,036  

Mitek Systems, Inc. *

    275       2,637  

N-Able, Inc. *

    877       11,576  

NetScout Systems, Inc. *

    64,818       1,857,036  

NextGen Healthcare, Inc. *

    3,103       54,023  

Olo, Inc. Class A *

    9,820       80,131  

ON24, Inc. *

    4,622       40,489  

OneSpan, Inc. *

    2,796       48,930  

Onto Innovation, Inc. *

    19,972       1,755,139  

Ouster, Inc. *

    30,534       25,548  

Outbrain, Inc. *

    4,166       17,206  

PAR Technology Corp. *

    1,810       61,468  

Parsons Corp. *

    3,734       167,059  

Pear Therapeutics, Inc. *

    5,232       1,334  

Photronics, Inc. *

    1,787       29,628  

Phreesia, Inc. *

    2,893       93,415  

Playstudios, Inc. *

    4,122       15,210  

Porch Group, Inc. *

    7,954       11,374  

PowerSchool Holdings, Inc. Class A *

    3,252       64,455  

PROS Holdings, Inc. *

    1,599       43,813  

PubMatic, Inc. Class A *

    573       7,919  

Rackspace Technology, Inc. *

    5,957       11,199  

Rambus, Inc. *

    1,948       99,854  

Rigetti Computing, Inc. Class A *

    9,322       6,744  

Sapiens International Corp. NV (Israel)

    962       20,895  

SecureWorks Corp. Class A *

    1,266       10,850  

Sharecare, Inc. *

    32,554       46,227  

Skillsoft Corp. *

    8,492       16,984  

Skillz, Inc. *

    32,696       19,395  

SolarWinds Corp. *

    5,273       45,348  

Sumo Logic, Inc. *

    4,507       53,994  

Ultra Clean Holdings, Inc. *

    3,322       110,157  

Unisys Corp. *

    1,994       7,737  

Upland Software, Inc. *

    2,969       12,767  

Veeco Instruments, Inc. *

    1,244       26,286  

Veradigm, Inc. *

    11,864       154,825  

Verint Systems, Inc. *

    637       23,722  

Vuzix Corp. *

    1,145       4,740  

Xerox Holdings Corp.

    12,729       196,027  
   

 

 

 
    15,008,371  
   

 

 

 

Utilities - 3.5%

 

ALLETE, Inc.

    6,322       406,947  

Altus Power, Inc. *

    6,731       36,886  

American States Water Co.

    2,130       189,336  

Artesian Resources Corp. Class A

    298       16,497  

Avista Corp.

    7,919       336,162  

Black Hills Corp.

    27,496       1,734,998  

California Water Service Group

    4,422       257,360  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

122

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

Chesapeake Utilities Corp.

    808       $ 103,416  

IDACORP, Inc.

    13,888       1,504,487  

MGE Energy, Inc.

    2,306       179,107  

New Jersey Resources Corp.

    9,750       518,700  

Northwest Natural Holding Co.

    3,865       183,819  

NorthWestern Corp.

    6,399       370,246  

ONE Gas, Inc.

    5,939       470,547  

Ormat Technologies, Inc.

    2,554       216,503  

Otter Tail Corp.

    2,510       181,398  

PNM Resources, Inc.

    9,385       456,862  

Portland General Electric Co.

    9,887       483,375  

SJW Group

    2,983       227,096  

Southwest Gas Holdings, Inc. *

    6,727       420,101  

Spire, Inc.

    5,611       393,556  

Unitil Corp.

    1,750       99,820  

Via Renewables, Inc. *

    46       845  
   

 

 

 
    8,788,064  
   

 

 

 

Total Common Stocks
(Cost $274,469,159)

      246,165,819  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 2.1%

 

Repurchase Agreement - 1.0%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of
$2,566,531; collateralized by U.S.
Treasury Notes: 2.875% due 06/15/25
and value $2,616,976)

    $2,565,580       2,565,580  
   

 

 

 

U.S. Government Agency Issue - 1.1%

 

Federal Home Loan Bank
4.412% due 04/03/23

    2,735,000       2,735,000  
   

 

 

 

Total Short-Term Investments
(Cost $5,299,919)

      5,300,580  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $279,769,078)

      251,466,801  
   

 

 

 

DERIVATIVES - 0.0%

      34,539  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.1%

 

    193,554  
   

 

 

 

NET ASSETS - 100.0%

      $251,694,894  
   

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $391 or less than 0.1% of the Fund’s net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees.

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

123

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(b)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
     Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

Micro Russell 2000 E-Mini Index

     06/23        222        $1,978,446        $2,012,985        $34,539  
              

 

 

 

 

(c)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

           
 

Basic Materials

     $11        $11        $-        $-  
 

Consumer, Non-Cyclical

     391        -        -        391  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Rights

     402        11        -        391  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Common Stocks

           
 

Basic Materials

     15,922,451        15,922,451        -        -  
 

Communications

     4,322,476        4,322,476        -        -  
 

Consumer, Cyclical

     32,048,692        30,958,760        1,089,932        -  
 

Consumer, Non-Cyclical

     37,779,152        33,123,155        4,655,997        -  
 

Energy

     16,477,003        16,477,003        -        -  
 

Financial

     76,040,779        76,040,779        -        -  
 

Industrial

     39,778,831        39,778,831        -        -  
 

Technology

     15,008,371        15,008,371        -        -  
 

Utilities

     8,788,064        8,788,064        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     246,165,819        240,419,890        5,745,929        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     5,300,580        -        5,300,580        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     34,539        34,539        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $251,501,340        $240,454,440        $11,046,509        $391  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

124

PACIFIC SELECT FUND

SMALL-CAP GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

WARRANTS - 0.0%

 

Consumer, Non-Cyclical - 0.0%

 

Optinose, Inc. Exercise @ $2.57

Exp 11/23/27 *

    73,697       $-  
   

 

 

 

Total Warrants
(Cost $737)

      -  
   

 

 

 

COMMON STOCKS - 94.6%

 

Basic Materials - 5.5%

 

Axalta Coating Systems Ltd. *

    192,802       5,839,973  

Element Solutions, Inc.

    269,334       5,200,840  

Ingevity Corp. *

    62,468       4,467,711  
   

 

 

 
    15,508,524  
   

 

 

 

Communications - 1.6%

 

Q2 Holdings, Inc. *

    91,191       2,245,122  

Vivid Seats, Inc. Class A *

    293,784       2,241,572  
   

 

 

 
    4,486,694  
   

 

 

 

Consumer, Cyclical - 14.4%

 

Brunswick Corp.

    51,101       4,190,282  

Five Below, Inc. *

    14,396       2,965,144  

Funko, Inc. Class A *

    113,114       1,066,665  

Genius Sports Ltd. * (United Kingdom)

    371,462       1,849,881  

Leslie’s, Inc. *

    112,064       1,233,825  

Manchester United PLC Class A (United Kingdom)

    53,141       1,177,073  

Methode Electronics, Inc.

    78,324       3,436,857  

Ollie’s Bargain Outlet Holdings, Inc. *

    84,472       4,894,308  

On Holding AG Class A * (Switzerland)

    77,541       2,406,097  

Penn Entertainment, Inc. *

    172,086       5,104,071  

Petco Health & Wellness Co., Inc. *

    256,128       2,305,152  

Skechers USA, Inc. Class A *

    97,014       4,610,105  

Univar Solutions, Inc. *

    50,403       1,765,617  

Visteon Corp. *

    24,056       3,772,702  
   

 

 

 
    40,777,779  
   

 

 

 

Consumer, Non-Cyclical - 24.2%

 

Abcam PLC ADR * (United Kingdom)

    226,530       3,049,094  

Adaptive Biotechnologies Corp. *

    120,478       1,063,821  

Allovir, Inc. *

    67,907       267,554  

Annexon, Inc. *

    64,988       250,204  

BioAtla, Inc. *

    43,207       115,795  

Bioxcel Therapeutics, Inc. *

    28,724       535,990  

Boyd Group Services, Inc. (Canada)

    16,823       2,689,190  

Bright Horizons Family Solutions, Inc. *

    36,558       2,814,600  

Bruker Corp.

    50,147       3,953,589  

Certara, Inc. *

    85,984       2,073,074  

Collegium Pharmaceutical, Inc. *

    53,078       1,273,341  

Duckhorn Portfolio, Inc. *

    197,293       3,136,959  

Envista Holdings Corp. *

    139,510       5,703,169  

European Wax Center, Inc. Class A

    153,787       2,921,953  

Harmony Biosciences Holdings, Inc. *

    32,116       1,048,587  

HealthEquity, Inc. *

    56,973       3,344,885  

Immunocore Holdings PLC ADR * (United Kingdom)

    29,249       1,446,071  

Kymera Therapeutics, Inc. *

    26,283       778,765  

Legend Biotech Corp. ADR *

    24,878       1,199,617  

Lyell Immunopharma, Inc. *

    85,941       202,821  

Maravai LifeSciences Holdings, Inc. Class A *

    85,673       1,200,279  

MaxCyte, Inc. *

    154,563       765,087  

Neurocrine Biosciences, Inc. *

    13,184       1,334,484  

Nuvei Corp. * ~ (Canada)

    80,720       3,513,338  

Oatly Group AB ADR *

    307,730       744,707  
   

    

Shares

   

    

Value

 

Optinose, Inc. *

    238,386       $ 460,085  

Oxford Nanopore Technologies PLC * (United Kingdom)

    272,219       746,353  

Paylocity Holding Corp. *

    9,057       1,800,350  

Payoneer Global, Inc. *

    387,458       2,433,236  

Prelude Therapeutics, Inc. *

    41,703       237,707  

PROCEPT BioRobotics Corp. *

    42,224       1,199,162  

Remitly Global, Inc. *

    130,149       2,206,025  

Ritchie Bros Auctioneers, Inc. (Canada)

    86,485       4,868,241  

Sabre Corp. *

    443,724       1,903,576  

Sana Biotechnology, Inc. *

    66,462       217,331  

Shockwave Medical, Inc. *

    11,649       2,525,853  

Silk Road Medical, Inc. *

    35,471       1,387,980  

SpringWorks Therapeutics, Inc. *

    37,841       974,027  

TriNet Group, Inc. *

    26,274       2,117,947  
   

 

 

 
    68,504,847  
   

 

 

 

Energy - 5.7%

 

ChampionX Corp.

    239,597       6,500,267  

Magnolia Oil & Gas Corp. Class A

    129,925       2,842,759  

Matador Resources Co.

    85,404       4,069,500  

Permian Resources Corp.

    278,538       2,924,649  
   

 

 

 
    16,337,175  
   

 

 

 

Financial - 5.1%

 

First Interstate BancSystem, Inc. Class A

    10,385       310,096  

GCM Grosvenor, Inc. Class A

    260,777       2,036,669  

Hamilton Lane, Inc. Class A

    41,444       3,066,027  

Pacific Premier Bancorp, Inc.

    15,994       384,176  

STAG Industrial, Inc. REIT

    135,005       4,565,869  

WisdomTree, Inc.

    682,936       4,002,005  
   

 

 

 
    14,364,842  
   

 

 

 

Industrial - 17.1%

 

Advanced Energy Industries, Inc.

    36,351       3,562,398  

AeroVironment, Inc. *

    16,437       1,506,615  

AZEK Co., Inc. *

    85,459       2,011,705  

Cactus, Inc. Class A

    96,405       3,974,778  

Crane Co. *

    5,840       435,664  

CryoPort, Inc. *

    65,477       1,571,448  

Gerresheimer AG (Germany)

    38,081       3,775,961  

GFL Environmental, Inc. (Canada)

    213,251       7,344,365  

Jacobs Solutions, Inc.

    44,427       5,220,617  

Knight-Swift Transportation Holdings, Inc.

    73,841       4,177,924  

Kratos Defense & Security Solutions, Inc. *

    79,132       1,066,699  

Littelfuse, Inc.

    12,164       3,261,047  

NEXTracker, Inc. Class A *

    22,355       810,592  

Saia, Inc. *

    6,455       1,756,276  

Sensata Technologies Holding PLC

    134,627       6,734,043  

Trex Co., Inc. *

    26,854       1,306,984  
   

 

 

 
    48,517,116  
   

 

 

 

Technology - 21.0%

 

ACV Auctions, Inc. Class A *

    169,423       2,187,251  

Alkami Technology, Inc. *

    171,230       2,167,772  

Allegro MicroSystems, Inc. * (Japan)

    30,703       1,473,437  

CACI International, Inc. Class A *

    9,200       2,725,776  

Corsair Gaming, Inc. *

    68,645       1,259,636  

Definitive Healthcare Corp. *

    156,109       1,612,606  

DoubleVerify Holdings, Inc. *

    104,506       3,150,856  

ExlService Holdings, Inc. *

    36,393       5,889,479  

Five9, Inc. *

    51,331       3,710,718  

FormFactor, Inc. *

    61,840       1,969,604  

KBR, Inc.

    64,270       3,538,064  

Keywords Studios PLC (Ireland)

    94,308       3,208,610  

Kinaxis, Inc. * (Canada)

    19,302       2,650,151  

nCino, Inc. *

    56,680       1,404,530  

Outset Medical, Inc. *

    40,476       744,758  

Paycor HCM, Inc. *

    132,095       3,503,159  

Procore Technologies, Inc. *

    46,084       2,886,241  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

125

PACIFIC SELECT FUND

SMALL-CAP GROWTH PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Rapid7, Inc. *

    53,984       $ 2,478,405  

TaskUS, Inc. Class A * (Philippines)

    171,797       2,480,749  

Thoughtworks Holding, Inc. *

    439,968       3,238,165  

WNS Holdings Ltd. ADR * (India)

    78,490       7,312,913  
   

 

 

 
    59,592,880  
   

 

 

 

Total Common Stocks
(Cost $295,671,779)

      268,089,857  
   

 

 

 
   

Principal

Amount

       

SHORT-TERM INVESTMENT - 5.0%

 

Repurchase Agreement - 5.0%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of
$14,072,617; collateralized by U.S.
Treasury Notes: 2.875% due 06/15/25
and value $14,348,815)

    $14,067,400       14,067,400  
   

 

 

 

Total Short-Term Investment
(Cost $14,067,400)

      14,067,400  
   

 

 

 

TOTAL INVESTMENTS - 99.6%
(Cost $309,739,916)

      282,157,257  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.4%

 

    1,112,807  
   

 

 

 

NET ASSETS - 100.0%

      $283,270,064  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
    

Level 1

Quoted Price

    

Level 2

Significant

Observable Inputs

    

Level 3

Significant

Unobservable Inputs

 

Assets

 

Common Stocks

           
 

Basic Materials

     $15,508,524        $15,508,524        $-        $-  
 

Communications

     4,486,694        4,486,694        -        -  
 

Consumer, Cyclical

     40,777,779        40,777,779        -        -  
 

Consumer, Non-Cyclical

     68,504,847        67,758,494        746,353        -  
 

Energy

     16,337,175        16,337,175        -        -  
 

Financial

     14,364,842        14,364,842        -        -  
 

Industrial

     48,517,116        44,741,155        3,775,961        -  
 

Technology

     59,592,880        59,592,880        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     268,089,857        263,567,543        4,522,314        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investment

     14,067,400        -        14,067,400        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $282,157,257        $263,567,543        $18,589,714        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

126

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

RIGHTS - 0.0%

 

Basic Materials - 0.0%

 

PolyMet Mining Corp. Exp 04/10/23 *

    8,226       $22  
   

 

 

 

Consumer, Non-Cyclical - 0.0%

 

Contra Aduro Biotechnologies, Inc. -
Contingent Value Rights * W ±

    3,861       9,803  

Gtx, Inc. - Contingent Value Rights * W ±

    216       222  

OmniAb, Inc.
$12.50 - Earn Out Shares * W ±

    1,693       -  

OmniAb, Inc.
$15.00 - Earn Out Shares * W ±

    1,693       -  
   

 

 

 
    10,025  
   

 

 

 

Total Rights
(Cost $443)

      10,047  
   

 

 

 

COMMON STOCKS - 98.9%

 

Basic Materials - 3.7%

 

5E Advanced Materials, Inc. *

    11,337       61,447  

AdvanSix, Inc.

    7,074       270,722  

American Vanguard Corp.

    7,396       161,824  

Amyris, Inc. *

    54,589       74,241  

Arconic Corp. *

    27,424       719,331  

ATI, Inc. *

    33,873       1,336,629  

Avient Corp.

    24,735       1,018,093  

AZZ, Inc.

    6,648       274,163  

Balchem Corp.

    8,719       1,102,779  

Cabot Corp.

    15,209       1,165,618  

Carpenter Technology Corp.

    12,919       578,254  

Century Aluminum Co. *

    14,853       148,530  

Codexis, Inc. *

    17,304       71,639  

Coeur Mining, Inc. *

    75,756       302,266  

Commercial Metals Co.

    31,893       1,559,568  

Compass Minerals International, Inc.

    9,080       311,353  

Constellium SE *

    33,968       519,031  

Dakota Gold Corp. *

    12,680       45,902  

Danimer Scientific, Inc. *

    25,743       88,813  

Diversey Holdings Ltd. *

    21,973       177,762  

Ecovyst, Inc. *

    22,149       244,746  

Energy Fuels, Inc. *

    44,174       246,491  

Glatfelter Corp.

    12,856       41,011  

Hawkins, Inc.

    5,475       239,695  

Haynes International, Inc.

    3,199       160,238  

HB Fuller Co.

    14,551       996,016  

Hecla Mining Co.

    149,959       949,240  

Hycroft Mining Holding Corp. *

    39,779       17,200  

Ingevity Corp. *

    10,140       725,213  

Innospec, Inc.

    6,774       695,487  

Intrepid Potash, Inc. *

    3,035       83,766  

Ivanhoe Electric, Inc. *

    12,224       148,522  

Kaiser Aluminum Corp.

    4,444       331,656  

Koppers Holdings, Inc.

    5,257       183,837  

Kronos Worldwide, Inc.

    6,400       58,944  

Lightwave Logic, Inc. *

    31,166       162,998  

Livent Corp. *

    44,118       958,243  

Mativ Holdings, Inc.

    15,234       327,074  

Minerals Technologies, Inc.

    8,683       524,627  

Novagold Resources, Inc. * (Canada)

    63,984       397,980  

Origin Materials, Inc. *

    29,507       125,995  

Orion Engineered Carbons SA (Germany)

    16,097       419,971  

Perimeter Solutions SA *

    31,411       253,801  

Piedmont Lithium, Inc. *

    4,870       292,443  

PolyMet Mining Corp. * (Canada)

    8,226       17,686  
   

    

Shares

   

    

Value

 

Quaker Chemical Corp.

    3,673       $ 727,070  

Rayonier Advanced Materials, Inc. *

    17,403       109,117  

Rogers Corp. *

    5,105       834,310  

Schnitzer Steel Industries, Inc. Class A

    6,696       208,246  

Sensient Technologies Corp.

    11,411       873,626  

Stepan Co.

    5,722       589,538  

Sylvamo Corp.

    9,314       430,866  

Terawulf, Inc. *

    5,805       5,444  

Trinseo PLC

    9,800       204,330  

Tronox Holdings PLC

    31,498       452,941  

Unifi, Inc. *

    4,126       33,709  

Ur-Energy, Inc. *

    56,830       60,240  

Uranium Energy Corp. *

    99,024       285,189  

US Lime & Minerals, Inc.

    588       89,782  

Valhi, Inc.

    693       12,065  
   

 

 

 
    23,507,318  
   

 

 

 

Communications - 4.0%

 

1-800-Flowers.com, Inc. Class A *

    7,662       88,113  

1stdibs.com, Inc. *

    7,333       29,112  

A10 Networks, Inc.

    17,707       274,281  

AdTheorent Holding Co., Inc. *

    7,672       12,966  

ADTRAN Holdings, Inc.

    21,613       342,782  

Advantage Solutions, Inc. *

    21,768       34,393  

aka Brands Holding Corp. *

    4,330       2,359  

Allbirds, Inc. Class A *

    26,001       31,201  

AMC Networks, Inc. Class A *

    8,364       147,039  

Anterix, Inc. *

    4,929       162,854  

Arena Group Holdings, Inc. *

    2,835       12,049  

ATN International, Inc.

    3,134       128,243  

Audacy, Inc. *

    35,074       4,724  

Aviat Networks, Inc. *

    1,902       65,543  

BARK, Inc. *

    31,852       46,185  

Blade Air Mobility, Inc. *

    15,595       52,711  

Boston Omaha Corp. Class A *

    6,130       145,097  

Bumble, Inc. Class A *

    27,153       530,841  

Calix, Inc. *

    15,659       839,166  

Cambium Networks Corp. *

    3,080       54,578  

Cargurus, Inc. *

    27,513       513,943  

CarParts.com, Inc. *

    13,897       74,210  

Cars.com, Inc. *

    17,745       342,479  

Casa Systems, Inc. *

    9,884       12,553  

Clear Channel Outdoor Holdings, Inc. *

    103,484       124,181  

Clearfield, Inc. *

    3,285       153,015  

Cogent Communications Holdings, Inc.

    11,546       735,711  

CommScope Holding Co., Inc. *

    57,266       364,784  

Consolidated Communications Holdings, Inc. *

    20,547       53,011  

ContextLogic, Inc. Class A *

    159,275       71,005  

Couchbase, Inc. *

    7,320       102,919  

Credo Technology Group Holding Ltd. *

    26,620       250,760  

Cumulus Media, Inc. Class A *

    4,944       18,243  

Cyxtera Technologies, Inc. *

    10,853       3,315  

DHI Group, Inc. *

    10,800       41,904  

DigitalBridge Group, Inc.

    42,346       507,729  

DZS, Inc. *

    4,476       35,316  

EchoStar Corp. Class A *

    9,658       176,645  

Edgio, Inc. *

    37,379       29,571  

Entravision Communications Corp. Class A

    16,640       100,672  

ePlus, Inc. *

    7,206       353,382  

Eventbrite, Inc. Class A *

    21,386       183,492  

EverQuote, Inc. Class A *

    5,385       74,852  

EW Scripps Co. Class A *

    16,290       153,289  

Extreme Networks, Inc. *

    34,451       658,703  

Figs, Inc. Class A *

    35,864       221,998  

Focus Universal, Inc. *

    7,047       17,618  

fuboTV, Inc. *

    50,486       61,088  

Gambling.com Group Ltd. * (Malta)

    2,447       24,250  

Gannett Co., Inc. *

    39,559       73,975  

Globalstar, Inc. *

    193,182       224,091  

Gogo, Inc. *

    14,075       204,088  

Gray Television, Inc.

    21,108       184,062  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

127

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Groupon, Inc. *

    6,292       $26,489  

Harmonic, Inc. *

    25,672       374,554  

HealthStream, Inc. *

    6,408       173,657  

Hims & Hers Health, Inc. *

    33,818       335,475  

IDT Corp. Class B *

    4,166       141,977  

iHeartMedia, Inc. Class A *

    33,172       129,371  

Infinera Corp. *

    53,103       412,079  

Innovid Corp. * (Israel)

    19,669       27,733  

Inseego Corp. *

    25,524       14,865  

Inspirato, Inc. *

    4,144       3,974  

InterDigital, Inc.

    8,068       588,157  

Iridium Communications, Inc.

    33,981       2,104,443  

KORE Group Holdings, Inc. *

    8,836       10,780  

Lands’ End, Inc. *

    4,088       39,735  

Liberty Latin America Ltd. Class A *

    11,686       97,111  

Liberty Latin America Ltd. Class C *

    39,329       324,858  

Liquidity Services, Inc. *

    6,539       86,119  

Lulu’s Fashion Lounge Holdings, Inc. *

    3,942       9,382  

Magnite, Inc. *

    36,913       341,814  

Marqeta, Inc. Class A *

    116,715       533,388  

Maxar Technologies, Inc.

    20,018       1,022,119  

MediaAlpha, Inc. Class A *

    6,134       91,887  

Nerdy, Inc. *

    14,499       60,606  

NETGEAR, Inc. *

    8,143       150,727  

Ondas Holdings, Inc. *

    9,265       10,006  

Ooma, Inc. *

    5,971       74,697  

Open Lending Corp. Class A *

    29,640       208,666  

OptimizeRx Corp. *

    5,051       73,896  

Overstock.com, Inc. *

    11,975       242,733  

Perficient, Inc. *

    9,464       683,206  

Planet Labs PBC *

    51,866       203,833  

Preformed Line Products Co.

    730       93,469  

Q2 Holdings, Inc. *

    15,543       382,669  

QuinStreet, Inc. *

    13,401       212,674  

Quotient Technology, Inc. *

    24,701       81,019  

RealReal, Inc. *

    22,405       28,230  

Revolve Group, Inc. *

    11,485       302,056  

Ribbon Communications, Inc. *

    19,880       67,990  

Rover Group, Inc. *

    25,790       116,829  

RumbleON, Inc. Class B *

    2,841       17,216  

Scholastic Corp.

    8,091       276,874  

Shenandoah Telecommunications Co.

    12,773       242,942  

Shutterstock, Inc.

    6,464       469,286  

Sinclair Broadcast Group, Inc. Class A

    11,424       196,036  

Solo Brands, Inc. Class A *

    5,125       36,798  

Squarespace, Inc. Class A *

    8,193       260,292  

Stagwell, Inc. *

    19,853       147,309  

Stitch Fix, Inc. Class A *

    23,149       118,291  

TechTarget, Inc. *

    7,641       275,993  

TEGNA, Inc.

    60,062       1,015,648  

Telephone & Data Systems, Inc.

    26,743       281,069  

Terran Orbital Corp. *

    6,280       11,555  

Thryv Holdings, Inc. *

    6,865       158,307  

TrueCar, Inc. *

    21,676       49,855  

Tucows, Inc. Class A *

    2,783       54,129  

Upwork, Inc. *

    33,741       381,948  

Urban One, Inc. *

    5,120       38,656  

US Cellular Corp. *

    4,356       90,300  

Vacasa, Inc. Class A *

    30,329       29,183  

Value Line, Inc.

    334       16,142  

Viavi Solutions, Inc. *

    60,790       658,356  

Vivid Seats, Inc. Class A *

    6,633       50,610  

WideOpenWest, Inc. *

    15,069       160,183  

Yelp, Inc. *

    18,257       560,490  

Ziff Davis, Inc. *

    12,400       967,820  
   

 

 

 
    25,599,652  
   

 

 

 

Consumer, Cyclical - 12.2%

 

A-Mark Precious Metals, Inc.

    4,974       172,349  

Abercrombie & Fitch Co. Class A *

    13,117       363,997  

Academy Sports & Outdoors, Inc.

    20,717       1,351,784  
   

    

Shares

   

    

Value

 

Accel Entertainment, Inc. *

    16,191       $147,500  

Acushnet Holdings Corp.

    9,067       461,873  

Adient PLC *

    25,850       1,058,816  

Aeva Technologies, Inc. *

    30,039       35,746  

Allegiant Travel Co. *

    4,301       395,606  

America’s Car-Mart, Inc. *

    1,705       135,053  

American Axle & Manufacturing Holdings, Inc. *

    31,386       245,125  

American Eagle Outfitters, Inc.

    41,456       557,169  

Arko Corp.

    23,938       203,234  

Asbury Automotive Group, Inc. *

    6,020       1,264,200  

Aspen Aerogels, Inc. *

    13,003       96,872  

Aterian, Inc. *

    20,441       17,581  

Bally’s Corp. *

    9,143       178,471  

Beacon Roofing Supply, Inc. *

    13,937       820,192  

Beazer Homes USA, Inc. *

    8,418       133,678  

Bed Bath & Beyond, Inc. *

    22,187       9,483  

Big 5 Sporting Goods Corp.

    5,932       45,617  

Big Lots, Inc.

    7,651       83,855  

Biglari Holdings, Inc. Class B *

    230       38,916  

BJ’s Restaurants, Inc. *

    6,392       186,263  

Bloomin’ Brands, Inc.

    23,639       606,340  

Blue Bird Corp. *

    5,026       102,681  

Bluegreen Vacations Holding Corp.

    2,658       72,776  

BlueLinx Holdings, Inc. *

    2,289       155,560  

Boot Barn Holdings, Inc. *

    7,996       612,813  

Bowlero Corp. *

    8,239       139,651  

Brinker International, Inc. *

    11,930       453,340  

Buckle, Inc.

    7,959       284,057  

Build-A-Bear Workshop, Inc.

    3,742       86,964  

Caleres, Inc.

    9,093       196,682  

Camping World Holdings, Inc. Class A

    10,500       219,135  

Canoo, Inc. *

    70,824       46,220  

Cato Corp. Class A

    5,395       47,692  

Cavco Industries, Inc. *

    2,375       754,632  

Cenntro Electric Group Ltd. * (Australia)

    50,498       23,320  

Century Casinos, Inc. *

    7,401       54,249  

Century Communities, Inc.

    7,755       495,700  

Cepton, Inc. *

    9,852       4,575  

Cheesecake Factory, Inc.

    12,932       453,267  

Chico’s FAS, Inc. *

    34,362       188,991  

Children’s Place, Inc. *

    3,065       123,366  

Chuy’s Holdings, Inc. *

    4,772       171,076  

Cinemark Holdings, Inc. *

    29,278       433,022  

Citi Trends, Inc. *

    2,540       48,311  

Clarus Corp.

    6,816       64,411  

Clean Energy Fuels Corp. *

    47,494       207,074  

CompX International, Inc.

    719       13,000  

Conn’s, Inc. *

    3,860       23,392  

Container Store Group, Inc. *

    9,489       32,547  

Cracker Barrel Old Country Store, Inc.

    5,996       681,146  

Crocs, Inc. *

    16,527       2,089,674  

Dana, Inc.

    34,666       521,723  

Dave & Buster’s Entertainment, Inc. *

    11,540       424,557  

Denny’s Corp. *

    14,657       163,572  

Designer Brands, Inc. Class A

    12,684       110,858  

Destination XL Group, Inc. *

    15,629       86,116  

Dillard’s, Inc. Class A

    1,085       333,833  

Dine Brands Global, Inc.

    3,904       264,067  

Dorman Products, Inc. *

    7,162       617,794  

Douglas Dynamics, Inc.

    5,789       184,611  

Dream Finders Homes, Inc. Class A *

    5,778       76,558  

Duluth Holdings, Inc. Class B *

    3,374       21,526  

El Pollo Loco Holdings, Inc.

    5,169       49,571  

Ermenegildo Zegna NV (Italy)

    16,402       223,723  

Ethan Allen Interiors, Inc.

    6,270       172,174  

Everi Holdings, Inc. *

    23,005       394,536  

EVgo, Inc. *

    19,124       148,976  

Express, Inc. *

    17,437       13,746  

F45 Training Holdings, Inc. *

    9,115       10,573  

First Watch Restaurant Group, Inc. *

    4,458       71,595  

FirstCash, Inc.

    10,283       980,690  

Fisker, Inc. *

    46,993       288,537  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

128

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
Shares

   

    
Value

 

Foot Locker, Inc.

    21,834       $866,591  

Forestar Group, Inc. *

    4,745       73,832  

Fossil Group, Inc. *

    14,174       45,357  

Fox Factory Holding Corp. *

    11,567       1,403,887  

Franchise Group, Inc.

    7,091       193,230  

Frontier Group Holdings, Inc. *

    9,921       97,623  

Full House Resorts, Inc. *

    9,322       67,398  

Funko, Inc. Class A *

    9,070       85,530  

G-III Apparel Group Ltd. *

    12,267       190,752  

Genesco, Inc. *

    3,464       127,752  

Gentherm, Inc. *

    9,006       544,143  

Global Industrial Co.

    3,607       96,812  

GMS, Inc. *

    11,290       653,578  

Golden Entertainment, Inc. *

    5,662       246,354  

Goodyear Tire & Rubber Co. *

    76,126       838,909  

Green Brick Partners, Inc. *

    7,518       263,581  

Group 1 Automotive, Inc.

    3,823       865,604  

GrowGeneration Corp. *

    17,333       59,279  

Guess?, Inc.

    8,388       163,230  

H&E Equipment Services, Inc.

    8,812       389,755  

Haverty Furniture Cos., Inc.

    4,206       134,213  

Hawaiian Holdings, Inc. *

    14,373       131,657  

Hibbett, Inc.

    3,533       208,376  

Hilton Grand Vacations, Inc. *

    23,357       1,037,752  

HNI Corp.

    11,569       322,081  

Holley, Inc. *

    13,491       36,965  

Hovnanian Enterprises, Inc. Class A *

    1,458       98,911  

Hudson Technologies, Inc. *

    11,587       101,155  

Hyliion Holdings Corp. *

    35,612       70,512  

Hyzon Motors, Inc. *

    24,594       20,047  

IMAX Corp. *

    12,581       241,304  

indie Semiconductor, Inc. Class A * (China)

    28,191       297,415  

Installed Building Products, Inc.

    6,476       738,458  

Interface, Inc.

    16,564       134,500  

International Game Technology PLC

    26,623       713,496  

iRobot Corp. *

    7,514       327,911  

Jack in the Box, Inc.

    5,609       491,292  

JOANN, Inc.

    3,306       5,257  

Johnson Outdoors, Inc. Class A

    1,483       93,444  

KAR Auction Services, Inc. *

    30,134       412,233  

KB Home

    20,384       819,029  

Kimball International, Inc. Class B

    9,443       117,093  

Kontoor Brands, Inc.

    15,124       731,850  

Kura Sushi USA, Inc. Class A *

    1,269       83,551  

La-Z-Boy, Inc.

    11,979       348,349  

Landsea Homes Corp. *

    3,087       18,707  

LCI Industries

    6,732       739,645  

LGI Homes, Inc. *

    5,501       627,279  

Liberty Media Corp. - Liberty Braves Class A *

    2,808       97,101  

Liberty Media Corp. - Liberty Braves Class C *

    10,412       350,780  

Life Time Group Holdings, Inc. *

    11,059       176,502  

Lifetime Brands, Inc.

    4,323       25,419  

Light & Wonder, Inc. *

    25,699       1,543,225  

Lightning eMotors, Inc. *

    10,854       3,110  

Lindblad Expeditions Holdings, Inc. *

    9,393       89,797  

Lions Gate Entertainment Corp. Class A *

    15,888       175,880  

Lions Gate Entertainment Corp. Class B *

    32,936       341,876  

LL Flooring Holdings, Inc. *

    8,145       30,951  

Lordstown Motors Corp. Class A *

    44,120       29,256  

Lovesac Co. *

    3,639       105,167  

Luminar Technologies, Inc. *

    68,175       442,456  

M/I Homes, Inc. *

    6,933       437,403  

Madison Square Garden Entertainment Corp. *

    7,019       414,612  

Malibu Boats, Inc. Class A *

    5,379       303,645  

Marcus Corp.

    6,988       111,808  

Marine Products Corp.

    2,063       27,211  

MarineMax, Inc. *

    5,854       168,302  

MasterCraft Boat Holdings, Inc. *

    4,460       135,718  

MDC Holdings, Inc.

    15,938       619,510  

Meritage Homes Corp.

    9,922       1,158,493  

Methode Electronics, Inc.

    9,523       417,869  

Microvast Holdings, Inc. *

    47,733       59,189  
   

    
Shares

   

    
Value

 

Miller Industries, Inc.

    3,086       $109,090  

MillerKnoll, Inc.

    20,364       416,444  

Monarch Casino & Resort, Inc.

    3,702       274,503  

Motorcar Parts of America, Inc. *

    5,348       39,789  

Movado Group, Inc.

    3,883       111,714  

MRC Global, Inc. *

    23,331       226,777  

Mullen Automotive, Inc. *

    250,732       32,921  

Murphy USA, Inc.

    5,483       1,414,888  

National Vision Holdings, Inc. *

    20,998       395,602  

NEOGAMES SA * (Israel)

    3,469       52,729  

Nikola Corp. *

    94,040       113,788  

Noodles & Co. *

    11,028       53,486  

Nu Skin Enterprises, Inc. Class A

    13,162       517,398  

ODP Corp. *

    11,100       499,278  

ONE Group Hospitality, Inc. *

    5,568       45,101  

OneSpaWorld Holdings Ltd. * (Bahamas)

    17,677       211,947  

OneWater Marine, Inc. Class A *

    3,002       83,966  

Oxford Industries, Inc.

    4,055       428,167  

Papa John’s International, Inc.

    8,882       665,528  

Patrick Industries, Inc.

    5,943       408,938  

PC Connection, Inc.

    3,267       146,884  

PetMed Express, Inc.

    5,625       91,350  

PLBY Group, Inc. *

    13,213       26,162  

Portillo’s, Inc. Class A *

    8,808       188,227  

PriceSmart, Inc.

    6,894       492,783  

Proterra, Inc. *

    61,591       93,618  

Purple Innovation, Inc. *

    16,412       43,328  

Qurate Retail, Inc. *

    97,221       96,035  

RCI Hospitality Holdings, Inc.

    2,406       188,077  

Red Rock Resorts, Inc. Class A

    13,712       611,144  

Reservoir Media, Inc. *

    5,058       32,978  

Resideo Technologies, Inc. *

    39,132       715,333  

REV Group, Inc.

    9,824       117,790  

Rite Aid Corp. *

    15,300       34,272  

Rocky Brands, Inc.

    1,966       45,356  

Rush Enterprises, Inc. Class A

    11,240       613,704  

Rush Enterprises, Inc. Class B

    1,946       116,546  

Rush Street Interactive, Inc. *

    15,494       48,186  

Ruth’s Hospitality Group, Inc.

    8,175       134,233  

Sally Beauty Holdings, Inc. *

    28,605       445,666  

ScanSource, Inc. *

    7,177       218,468  

SeaWorld Entertainment, Inc. *

    10,827       663,803  

Shake Shack, Inc. Class A *

    10,146       563,002  

Shoe Carnival, Inc.

    5,032       129,071  

Shyft Group, Inc.

    9,179       208,822  

Signet Jewelers Ltd. (NYSE)

    12,106       941,605  

Skyline Champion Corp. *

    14,537       1,093,618  

SkyWest, Inc. *

    13,945       309,161  

Sleep Number Corp. *

    6,003       182,551  

Snap One Holdings Corp. *

    4,391       41,056  

Solid Power, Inc. *

    35,749       107,604  

Sonder Holdings, Inc. *

    50,599       38,308  

Sonic Automotive, Inc. Class A

    5,018       272,678  

Sonos, Inc. *

    34,594       678,734  

Sovos Brands, Inc. *

    10,066       167,901  

Spirit Airlines, Inc.

    29,354       504,008  

Sportsman’s Warehouse Holdings, Inc. *

    10,339       87,675  

Standard Motor Products, Inc.

    5,668       209,206  

Steelcase, Inc. Class A

    22,684       190,999  

Steven Madden Ltd.

    20,726       746,136  

Sun Country Airlines Holdings, Inc. *

    9,156       187,698  

Superior Group of Cos., Inc.

    3,312       26,065  

Sweetgreen, Inc. Class A *

    24,234       189,995  

Taylor Morrison Home Corp. *

    28,712       1,098,521  

Texas Roadhouse, Inc.

    18,439       1,992,518  

ThredUp, Inc. Class A *

    16,754       42,388  

Tile Shop Holdings, Inc. *

    8,920       41,835  

Tilly’s, Inc. Class A *

    6,305       48,612  

Titan International, Inc. *

    14,386       150,765  

Titan Machinery, Inc. *

    5,393       164,217  

Topgolf Callaway Brands Corp. *

    37,834       817,971  

Torrid Holdings, Inc. *

    3,599       15,692  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

129

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
Shares

   

    
Value

 

Traeger, Inc. *

    8,369       $34,397  

TravelCenters of America, Inc. *

    3,340       288,910  

Tri Pointe Homes, Inc. *

    27,141       687,210  

Tupperware Brands Corp. *

    12,501       31,252  

TuSimple Holdings, Inc. Class A *

    39,510       58,080  

UniFirst Corp.

    4,072       717,609  

Universal Electronics, Inc. *

    3,466       35,145  

Urban Outfitters, Inc. *

    17,046       472,515  

Veritiv Corp.

    3,636       491,369  

Vinco Ventures, Inc. *

    61,050       19,615  

Virgin Galactic Holdings, Inc. *

    64,893       262,817  

Vista Outdoor, Inc. *

    15,438       427,787  

Visteon Corp. *

    7,614       1,194,104  

Vizio Holding Corp. Class A *

    18,753       172,153  

VSE Corp.

    3,009       135,104  

Wabash National Corp.

    12,847       315,908  

Warby Parker, Inc. Class A *

    23,590       249,818  

Weyco Group, Inc.

    1,051       26,590  

Wheels Up Experience, Inc. *

    43,696       27,651  

Wingstop, Inc.

    8,168       1,499,481  

Winmark Corp.

    737       236,157  

Winnebago Industries, Inc.

    7,966       459,638  

Wolverine World Wide, Inc.

    20,648       352,048  

Workhorse Group, Inc. *

    43,667       58,077  

World Fuel Services Corp.

    16,885       431,412  

Xos, Inc. *

    14,811       7,776  

XPEL, Inc. *

    5,966       405,390  

Xperi, Inc. *

    11,152       121,891  

Xponential Fitness, Inc. Class A *

    5,719       173,800  

Zumiez, Inc. *

    4,234       78,075  
   

 

 

 
    77,675,527  
   

 

 

 

Consumer, Non-Cyclical - 23.3%

 

22nd Century Group, Inc. *

    45,815       35,232  

23andMe Holding Co. Class A *

    71,199       162,334  

2seventy bio, Inc. *

    10,518       107,284  

2U, Inc. *

    20,622       141,261  

4D Molecular Therapeutics, Inc. *

    7,686       132,122  

Aadi Bioscience, Inc. *

    4,054       29,351  

Aaron’s Co., Inc.

    8,577       82,854  

AbCellera Biologics, Inc. * (Canada)

    55,760       420,430  

ABM Industries, Inc.

    17,969       807,527  

Absci Corp. *

    15,969       27,946  

ACADIA Pharmaceuticals, Inc. *

    32,550       612,591  

ACCO Brands Corp.

    26,556       141,278  

Accolade, Inc. *

    17,948       258,092  

Aclaris Therapeutics, Inc. *

    17,799       143,994  

Acrivon Therapeutics, Inc. *

    2,037       25,850  

AdaptHealth Corp. *

    20,246       251,658  

Adaptive Biotechnologies Corp. *

    31,382       277,103  

Addus HomeCare Corp. *

    4,101       437,823  

Adicet Bio, Inc. *

    8,114       46,737  

ADMA Biologics, Inc. *

    57,137       189,123  

Adtalem Global Education, Inc. *

    12,073       466,259  

Aerovate Therapeutics, Inc. *

    2,841       57,303  

Affimed NV * (Germany)

    42,961       32,032  

Agenus, Inc. *

    85,439       129,867  

Agiliti, Inc. *

    8,056       128,735  

Agios Pharmaceuticals, Inc. *

    15,244       350,155  

AirSculpt Technologies, Inc.

    2,943       14,833  

Akero Therapeutics, Inc. *

    9,312       356,277  

Akoya Biosciences, Inc. *

    4,926       40,295  

Alarm.com Holdings, Inc. *

    12,995       653,389  

Alector, Inc. *

    16,790       103,930  

Alico, Inc.

    1,937       46,875  

Alight, Inc. Class A *

    105,103       967,999  

Alkermes PLC *

    44,239       1,247,097  

Allogene Therapeutics, Inc. *

    22,463       110,967  

Allovir, Inc. *

    8,823       34,763  

Alpha Teknova, Inc. *

    1,963       5,810  

Alphatec Holdings, Inc. *

    20,325       317,070  
   

    
Shares

   

    
Value

 

Alpine Immune Sciences, Inc. *

    6,438       $49,701  

Alta Equipment Group, Inc.

    6,047       95,845  

ALX Oncology Holdings, Inc. *

    5,781       26,130  

American Public Education, Inc. *

    5,787       31,366  

American Well Corp. Class A *

    64,449       152,100  

Amicus Therapeutics, Inc. *

    74,909       830,741  

AMN Healthcare Services, Inc. *

    11,731       973,204  

Amneal Pharmaceuticals, Inc. *

    26,987       37,512  

Amphastar Pharmaceuticals, Inc. *

    10,639       398,963  

Amylyx Pharmaceuticals, Inc. *

    13,509       396,354  

AN2 Therapeutics, Inc. *

    3,055       30,153  

AnaptysBio, Inc. *

    5,435       118,266  

Anavex Life Sciences Corp. *

    19,000       162,830  

Andersons, Inc.

    8,942       369,483  

AngioDynamics, Inc. *

    10,544       109,025  

ANI Pharmaceuticals, Inc. *

    3,417       135,723  

Anika Therapeutics, Inc. *

    4,185       120,193  

Apellis Pharmaceuticals, Inc. *

    25,516       1,683,035  

API Group Corp. *

    56,452       1,269,041  

AppHarvest, Inc. *

    19,667       12,042  

Arbutus Biopharma Corp. *

    30,997       93,921  

Arcellx, Inc. *

    8,109       249,838  

Arcturus Therapeutics Holdings, Inc. *

    6,511       156,069  

Arcus Biosciences, Inc. *

    14,448       263,532  

Arcutis Biotherapeutics, Inc. *

    11,295       124,245  

Arlo Technologies, Inc. *

    23,889       144,767  

Arrowhead Pharmaceuticals, Inc. *

    27,834       706,984  

Artivion, Inc. *

    10,719       140,419  

Arvinas, Inc. *

    12,948       353,739  

ASGN, Inc. *

    13,400       1,107,778  

Atara Biotherapeutics, Inc. *

    25,754       74,687  

Atea Pharmaceuticals, Inc. *

    21,675       72,611  

Athira Pharma, Inc. *

    9,189       22,973  

ATI Physical Therapy, Inc. *

    20,309       5,163  

AtriCure, Inc. *

    12,155       503,825  

Atrion Corp.

    361       226,676  

Aura Biosciences, Inc. *

    5,132       47,625  

Aurinia Pharmaceuticals, Inc. * (Canada)

    35,782       392,171  

Avanos Medical, Inc. *

    12,690       377,401  

Aveanna Healthcare Holdings, Inc. *

    10,995       11,435  

Avid Bioservices, Inc. *

    16,291       305,619  

Avidity Biosciences, Inc. *

    17,593       270,053  

Axogen, Inc. *

    11,451       108,212  

Axonics, Inc. *

    13,269       723,957  

Axsome Therapeutics, Inc. *

    8,658       534,025  

B&G Foods, Inc.

    19,827       307,913  

Babylon Holdings Ltd. Class A * (United Kingdom)

    1,198       6,098  

Bakkt Holdings, Inc. *

    18,181       31,271  

Barrett Business Services, Inc.

    1,784       158,134  

Beachbody Co., Inc. *

    28,413       13,701  

Beam Therapeutics, Inc. *

    17,129       524,490  

Beauty Health Co. *

    23,615       298,257  

BellRing Brands, Inc. *

    36,221       1,231,514  

Benson Hill, Inc. *

    48,043       55,249  

Beyond Meat, Inc. *

    16,288       264,354  

BioCryst Pharmaceuticals, Inc. *

    49,915       416,291  

Biohaven Ltd. *

    17,620       240,689  

BioLife Solutions, Inc. *

    9,481       206,212  

Bionano Genomics, Inc. *

    80,145       88,961  

Bioventus, Inc. Class A *

    8,317       8,899  

Bioxcel Therapeutics, Inc. *

    5,161       96,304  

Bird Global, Inc. Class A *

    60,073       16,814  

Bluebird Bio, Inc. *

    27,489       87,415  

Blueprint Medicines Corp. *

    16,176       727,758  

Boxed, Inc. *

    13,108       2,488  

BRC, Inc. Class A *

    7,203       37,023  

Bridgebio Pharma, Inc. *

    28,273       468,766  

Bright Health Group, Inc. *

    55,031       12,123  

BrightView Holdings, Inc. *

    11,545       64,883  

Brink’s Co.

    12,291       821,039  

Brookdale Senior Living, Inc. *

    52,734       155,565  

Butterfly Network, Inc. *

    36,805       69,193  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

130

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
Shares

   

    
Value

 

C4 Therapeutics, Inc. *

    11,659       $36,609  

Cal-Maine Foods, Inc.

    10,220       622,296  

Calavo Growers, Inc.

    4,921       141,577  

Cano Health, Inc. *

    45,716       41,602  

Cara Therapeutics, Inc. *

    12,408       60,923  

Cardiovascular Systems, Inc. *

    11,196       222,353  

CareDx, Inc. *

    14,543       132,923  

CareMax, Inc. *

    16,387       43,753  

Caribou Biosciences, Inc. *

    15,527       82,448  

Carriage Services, Inc.

    3,507       107,034  

Cass Information Systems, Inc.

    3,612       156,436  

Cassava Sciences, Inc. *

    10,696       257,988  

Castle Biosciences, Inc. *

    6,778       153,996  

Catalyst Pharmaceuticals, Inc. *

    26,621       441,376  

CBIZ, Inc. *

    12,645       625,801  

Celldex Therapeutics, Inc. *

    12,414       446,656  

Celsius Holdings, Inc. *

    15,138       1,406,926  

Celularity, Inc. *

    17,012       10,542  

Central Garden & Pet Co. *

    2,832       116,282  

Central Garden & Pet Co. Class A *

    10,573       413,087  

Century Therapeutics, Inc. *

    6,092       21,139  

Cerevel Therapeutics Holdings, Inc. *

    15,380       375,118  

Cerus Corp. *

    48,351       143,602  

Chefs’ Warehouse, Inc. *

    9,399       320,036  

Chegg, Inc. *

    33,630       548,169  

Chimerix, Inc. *

    20,798       26,205  

Chinook Therapeutics, Inc. *

    13,721       317,641  

Cimpress PLC * (Ireland)

    5,011       219,582  

Cipher Mining, Inc. *

    9,514       22,168  

Clover Health Investments Corp. *

    108,000       91,271  

Coca-Cola Consolidated, Inc.

    1,279       684,367  

Cogent Biosciences, Inc. *

    17,731       191,317  

Coherus Biosciences, Inc. *

    20,406       139,577  

Collegium Pharmaceutical, Inc. *

    8,932       214,279  

Community Health Systems, Inc. *

    35,405       173,485  

CompoSecure, Inc. *

    2,192       16,133  

CONMED Corp.

    7,804       810,523  

Corcept Therapeutics, Inc. *

    23,807       515,660  

CoreCivic, Inc. *

    30,586       281,391  

CorVel Corp. *

    2,363       449,632  

Coursera, Inc. *

    30,398       350,185  

CRA International, Inc.

    1,840       198,389  

Crinetics Pharmaceuticals, Inc. *

    14,790       237,527  

Cross Country Healthcare, Inc. *

    9,393       209,652  

CTI BioPharma Corp. *

    27,760       116,592  

Cue Health, Inc. *

    30,023       54,642  

Cullinan Oncology, Inc. *

    6,382       65,288  

Custom Truck One Source, Inc. *

    15,744       106,902  

Cutera, Inc. *

    4,734       111,817  

Cytek Biosciences, Inc. *

    32,059       294,622  

Cytokinetics, Inc. *

    22,308       785,019  

Day One Biopharmaceuticals, Inc. *

    7,650       102,281  

Deciphera Pharmaceuticals, Inc. *

    13,903       214,801  

Deluxe Corp.

    12,001       192,016  

Denali Therapeutics, Inc. *

    29,391       677,169  

Design Therapeutics, Inc. *

    9,609       55,444  

DICE Therapeutics, Inc. *

    9,889       283,320  

Distribution Solutions Group, Inc. *

    1,438       65,371  

DocGo, Inc. *

    22,021       190,482  

Duckhorn Portfolio, Inc. *

    11,347       180,417  

Dynavax Technologies Corp. *

    33,229       325,976  

Dyne Therapeutics, Inc. *

    8,556       98,565  

Eagle Pharmaceuticals, Inc. *

    2,602       73,819  

Edgewell Personal Care Co.

    13,942       591,420  

Edgewise Therapeutics, Inc. *

    10,824       72,196  

Editas Medicine, Inc. *

    19,439       140,933  

Eiger BioPharmaceuticals, Inc. *

    11,283       10,120  

elf Beauty, Inc. *

    13,403       1,103,737  

Embecta Corp.

    15,577       438,025  

Emergent BioSolutions, Inc. *

    14,083       145,900  

Enanta Pharmaceuticals, Inc. *

    5,538       223,957  

Ennis, Inc.

    7,255       153,008  
   

    
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Enochian Biosciences, Inc. *

    10,109       $9,251  

Ensign Group, Inc.

    14,587       1,393,642  

EQRx, Inc. *

    55,481       107,633  

Erasca, Inc. *

    18,358       55,258  

Esperion Therapeutics, Inc. *

    21,875       34,781  

European Wax Center, Inc. Class A

    6,551       124,469  

EVERTEC, Inc.

    16,799       566,966  

Evolus, Inc. *

    9,829       83,153  

EyePoint Pharmaceuticals, Inc. *

    6,947       20,424  

Fate Therapeutics, Inc. *

    23,469       133,773  

FibroGen, Inc. *

    23,700       442,242  

First Advantage Corp. *

    16,191       226,026  

Flywire Corp. *

    15,560       456,842  

Foghorn Therapeutics, Inc. *

    5,573       34,553  

Forrester Research, Inc. *

    3,244       104,943  

Franklin Covey Co. *

    3,488       134,183  

Fresh Del Monte Produce, Inc.

    8,388       252,563  

Fresh Market, Inc. * W ±

    19,545       -  

Fulcrum Therapeutics, Inc. *

    12,662       36,087  

Fulgent Genetics, Inc. *

    5,932       185,197  

GeneDx Holdings Corp. *

    45,292       16,532  

Generation Bio Co. *

    13,156       56,571  

GEO Group, Inc. *

    33,214       262,058  

Geron Corp. *

    115,270       250,136  

Glaukos Corp. *

    12,302       616,330  

Gossamer Bio, Inc. *

    17,807       22,437  

Graham Holdings Co. Class B

    996       593,457  

Green Dot Corp. Class A *

    13,260       227,807  

Greenidge Generation Holdings, Inc. *

    2,593       1,172  

GreenLight Biosciences Holdings PBC *

    17,504       7,569  

Hackett Group, Inc.

    5,844       107,997  

Haemonetics Corp. *

    13,646       1,129,206  

Hain Celestial Group, Inc. *

    24,981       428,424  

Halozyme Therapeutics, Inc. *

    36,199       1,382,440  

Harmony Biosciences Holdings, Inc. *

    6,943       226,689  

Healthcare Services Group, Inc.

    20,771       288,094  

HealthEquity, Inc. *

    22,640       1,329,194  

Heidrick & Struggles International, Inc.

    5,551       168,528  

Helen of Troy Ltd. *

    6,422       611,182  

Herbalife Nutrition Ltd. *

    26,401       425,056  

Herc Holdings, Inc.

    6,818       776,570  

Heron Therapeutics, Inc. *

    28,366       42,833  

Heska Corp. *

    2,537       247,662  

HF Foods Group, Inc. *

    10,129       39,706  

HilleVax, Inc. *

    4,940       81,658  

Honest Co., Inc. *

    17,316       31,169  

Hostess Brands, Inc. *

    36,479       907,598  

Humacyte, Inc. *

    16,084       49,700  

Huron Consulting Group, Inc. *

    5,440       437,213  

I3 Verticals, Inc. Class A *

    6,213       152,405  

ICF International, Inc.

    4,983       546,635  

Icosavax, Inc. *

    6,944       40,275  

Ideaya Biosciences, Inc. *

    12,376       169,922  

IGM Biosciences, Inc. *

    2,873       39,475  

ImmunityBio, Inc. *

    22,558       41,056  

ImmunoGen, Inc. *

    59,569       228,745  

Immunovant, Inc. *

    11,512       178,551  

Inari Medical, Inc. *

    13,057       806,139  

Information Services Group, Inc.

    9,851       50,142  

Ingles Markets, Inc. Class A

    4,001       354,889  

Inhibrx, Inc. *

    9,175       173,132  

Innovage Holding Corp. *

    5,223       41,680  

Innoviva, Inc. *

    17,672       198,810  

Inogen, Inc. *

    6,640       82,867  

Inotiv, Inc. *

    5,533       23,958  

Inovio Pharmaceuticals, Inc. *

    67,342       55,220  

Insmed, Inc. *

    36,479       621,967  

Insperity, Inc.

    9,779       1,188,637  

Inspire Medical Systems, Inc. *

    7,779       1,820,831  

Instil Bio, Inc. *

    20,232       13,369  

Integer Holdings Corp. *

    8,890       688,975  

Intellia Therapeutics, Inc. *

    22,447       836,600  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

131

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
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Value

 

Inter Parfums, Inc.

    4,930       $701,243  

Intercept Pharmaceuticals, Inc. *

    6,993       93,916  

Intra-Cellular Therapies, Inc. *

    24,877       1,347,090  

Invitae Corp. *

    65,368       88,247  

Invivyd, Inc. *

    15,257       18,308  

Iovance Biotherapeutics, Inc. *

    39,828       243,349  

iRadimed Corp.

    2,073       81,573  

iRhythm Technologies, Inc. *

    8,198       1,016,798  

Ironwood Pharmaceuticals, Inc. *

    36,012       378,846  

iTeos Therapeutics, Inc. *

    6,653       90,547  

IVERIC bio, Inc. *

    36,978       899,675  

J & J Snack Foods Corp.

    4,111       609,332  

Janux Therapeutics, Inc. *

    4,413       53,397  

John B Sanfilippo & Son, Inc.

    2,524       244,626  

John Wiley & Sons, Inc. Class A

    11,318       438,799  

Joint Corp. *

    3,930       66,142  

Jounce Therapeutics, Inc. *

    11,490       21,257  

KalVista Pharmaceuticals, Inc. *

    6,622       52,049  

Karuna Therapeutics, Inc. *

    8,818       1,601,702  

Karyopharm Therapeutics, Inc. *

    21,360       83,090  

Kelly Services, Inc. Class A

    9,458       156,908  

Keros Therapeutics, Inc. *

    5,386       229,982  

Kezar Life Sciences, Inc. *

    14,514       45,429  

Kforce, Inc.

    5,345       338,018  

Kiniksa Pharmaceuticals Ltd. Class A *

    8,746       94,107  

Kinnate Biopharma, Inc. *

    7,928       49,550  

Kodiak Sciences, Inc. *

    9,520       59,024  

Korn Ferry

    14,141       731,655  

Krispy Kreme, Inc.

    19,048       296,196  

Kronos Bio, Inc. *

    11,060       16,148  

Krystal Biotech, Inc. *

    5,723       458,183  

Kura Oncology, Inc. *

    17,822       217,963  

Kymera Therapeutics, Inc. *

    10,398       308,093  

Lancaster Colony Corp.

    5,305       1,076,278  

Lantheus Holdings, Inc. *

    18,597       1,535,368  

Laureate Education, Inc.

    36,110       424,654  

Leafly Holdings, Inc. *

    5,172       2,068  

Legalzoom.com, Inc. *

    26,919       252,500  

LeMaitre Vascular, Inc.

    5,430       279,482  

Lexicon Pharmaceuticals, Inc. *

    22,083       53,662  

Lifecore Biomedical, Inc. *

    7,169       27,063  

LifeStance Health Group, Inc. *

    20,646       153,400  

Ligand Pharmaceuticals, Inc. *

    4,154       305,568  

Liquidia Corp. *

    12,971       89,630  

LivaNova PLC *

    14,322       624,153  

LiveRamp Holdings, Inc. *

    17,158       376,275  

Local Bounti Corp. *

    20,935       16,687  

Lyell Immunopharma, Inc. *

    48,670       114,861  

MacroGenics, Inc. *

    17,306       124,084  

Madrigal Pharmaceuticals, Inc. *

    3,465       839,431  

MannKind Corp. *

    70,182       287,746  

Marathon Digital Holdings, Inc. *

    30,964       270,006  

MarketWise, Inc. *

    3,098       5,731  

Matthews International Corp. Class A

    7,898       284,802  

MaxCyte, Inc. *

    23,744       117,533  

Medifast, Inc.

    3,048       315,986  

Medpace Holdings, Inc. *

    6,902       1,297,921  

MeiraGTx Holdings PLC *

    8,487       43,878  

Merit Medical Systems, Inc. *

    15,184       1,122,857  

Mersana Therapeutics, Inc. *

    25,636       105,364  

MGP Ingredients, Inc.

    3,783       365,892  

MiMedx Group, Inc. *

    31,650       107,927  

Mineralys Therapeutics, Inc. *

    2,973       46,557  

Mirum Pharmaceuticals, Inc. *

    4,941       118,683  

Mission Produce, Inc. *

    10,566       117,388  

ModivCare, Inc. *

    3,350       281,668  

MoneyGram International, Inc. *

    26,113       272,097  

Moneylion, Inc. *

    40,753       23,140  

Monro, Inc.

    8,610       425,592  

Monte Rosa Therapeutics, Inc. *

    8,298       64,641  

Morphic Holding, Inc. *

    6,925       260,657  

Multiplan Corp. *

    106,862       113,274  
   

    
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Myriad Genetics, Inc. *

    21,349       $495,937  

Nano-X Imaging Ltd. * (Israel)

    12,598       72,690  

NanoString Technologies, Inc. *

    12,958       128,284  

National Beverage Corp. *

    6,592       347,530  

National HealthCare Corp.

    3,484       202,316  

National Research Corp.

    3,989       173,561  

Natural Grocers by Vitamin Cottage, Inc.

    2,889       33,946  

Nature’s Sunshine Products, Inc. *

    3,409       34,806  

Nautilus Biotechnology, Inc. SPAC *

    13,513       37,431  

Nektar Therapeutics *

    50,360       35,398  

Neogen Corp. *

    58,807       1,089,106  

NeoGenomics, Inc. *

    34,677       603,727  

Nevro Corp. *

    9,806       354,487  

NGM Biopharmaceuticals, Inc. *

    11,285       46,043  

Nkarta, Inc. *

    9,173       32,564  

Nurix Therapeutics, Inc. *

    12,900       114,552  

Nuvalent, Inc. Class A *

    5,661       147,695  

NuVasive, Inc. *

    14,048       580,323  

Nuvation Bio, Inc. *

    33,923       56,312  

Ocugen, Inc. *

    61,494       52,461  

Ocular Therapeutix, Inc. *

    22,034       116,119  

OmniAb, Inc. *

    21,888       80,548  

Omnicell, Inc. *

    11,934       700,168  

Oncology Institute, Inc. *

    8,717       5,909  

OPKO Health, Inc. *

    114,128       166,627  

Option Care Health, Inc. *

    45,432       1,443,375  

OraSure Technologies, Inc. *

    20,519       124,140  

Organogenesis Holdings, Inc. *

    19,948       42,489  

Orthofix Medical, Inc. *

    9,501       159,142  

OrthoPediatrics Corp. *

    4,138       183,272  

Oscar Health, Inc. Class A *

    33,375       218,273  

Outlook Therapeutics, Inc. *

    30,807       33,580  

Owens & Minor, Inc. *

    20,708       301,301  

Owlet, Inc. *

    4,459       1,447  

P3 Health Partners, Inc. *

    7,637       8,095  

Pacific Biosciences of California, Inc. *

    67,053       776,474  

Pacira BioSciences, Inc. *

    11,897       485,517  

Paragon 28, Inc. *

    12,892       220,066  

Pardes Biosciences, Inc. *

    7,949       10,493  

Patterson Cos., Inc.

    23,319       624,250  

Payoneer Global, Inc. *

    61,050       383,394  

Paysafe Ltd. *

    7,555       130,475  

Pediatrix Medical Group, Inc. *

    21,527       320,968  

Pennant Group, Inc. *

    7,562       107,985  

PepGen, Inc. *

    4,108       50,241  

Perdoceo Education Corp. *

    18,982       254,928  

PetIQ, Inc. *

    7,522       86,052  

PFSweb, Inc.

    4,567       19,364  

Phathom Pharmaceuticals, Inc. *

    6,496       46,381  

PhenomeX, Inc. *

    15,555       18,044  

Phibro Animal Health Corp. Class A

    6,195       94,907  

PMV Pharmaceuticals, Inc. *

    10,583       50,481  

Point Biopharma Global, Inc. SPAC *

    24,011       174,560  

Praxis Precision Medicines, Inc. *

    9,132       7,388  

Precigen, Inc. *

    27,023       28,644  

Prestige Consumer Healthcare, Inc. *

    13,334       835,108  

Prime Medicine, Inc. *

    2,639       32,460  

Primo Water Corp.

    42,625       654,294  

Priority Technology Holdings, Inc. *

    6,741       24,200  

PROCEPT BioRobotics Corp. *

    7,211       204,792  

PROG Holdings, Inc. *

    13,989       332,798  

Progyny, Inc. *

    20,397       655,152  

Prometheus Biosciences, Inc. *

    9,471       1,016,428  

Protagonist Therapeutics, Inc. *

    12,858       295,734  

Prothena Corp. PLC * (Ireland)

    10,623       514,897  

Provention Bio, Inc. *

    17,071       411,411  

PTC Therapeutics, Inc. *

    19,094       924,913  

Pulmonx Corp. *

    9,899       110,671  

Quad/Graphics, Inc. *

    10,046       43,097  

Quanex Building Products Corp.

    9,382       201,994  

Quanterix Corp. *

    9,476       106,795  

Quantum-Si, Inc. *

    25,398       44,700  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

132

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
Shares

   

    
Value

 

R1 RCM, Inc. *

    41,265       $618,975  

RadNet, Inc. *

    13,742       343,962  

Rallybio Corp. *

    4,168       23,799  

RAPT Therapeutics, Inc. *

    8,381       153,791  

Reata Pharmaceuticals, Inc. Class A *

    7,516       683,355  

Recursion Pharmaceuticals, Inc. Class A *

    38,141       254,400  

REGENXBIO, Inc. *

    11,287       213,437  

Relay Therapeutics, Inc. *

    22,827       375,961  

Relmada Therapeutics, Inc. *

    7,567       17,101  

Remitly Global, Inc. *

    27,402       464,464  

Rent the Runway, Inc. Class A *

    14,271       40,672  

Repay Holdings Corp. *

    24,901       163,600  

Replimune Group, Inc. *

    12,470       220,220  

Resources Connection, Inc.

    9,146       156,031  

Revance Therapeutics, Inc. *

    21,958       707,267  

REVOLUTION Medicines, Inc. *

    23,519       509,422  

Rigel Pharmaceuticals, Inc. *

    46,759       61,722  

Riot Platforms, Inc. *

    42,731       426,883  

Rocket Pharmaceuticals, Inc. *

    15,018       257,258  

RxSight, Inc. *

    5,676       94,676  

Sabre Corp. *

    87,617       375,877  

Sage Therapeutics, Inc. *

    14,085       591,007  

Sana Biotechnology, Inc. *

    24,818       81,155  

Sangamo Therapeutics, Inc. *

    39,707       69,884  

Science 37 Holdings, Inc. *

    17,433       4,909  

Scilex Holding Co. *

    18,410       150,962  

Seer, Inc. *

    14,879       57,433  

Select Medical Holdings Corp.

    28,044       724,937  

Seneca Foods Corp. Class A *

    1,582       82,691  

Senseonics Holdings, Inc. *

    124,245       88,214  

Seres Therapeutics, Inc. *

    19,829       112,430  

Shockwave Medical, Inc. *

    9,686       2,100,215  

ShotSpotter, Inc. *

    2,409       94,722  

SI-BONE, Inc. *

    9,359       184,092  

SIGA Technologies, Inc.

    13,267       76,285  

Silk Road Medical, Inc. *

    10,019       392,043  

Simply Good Foods Co. *

    24,193       962,156  

Singular Genomics Systems, Inc. *

    15,602       18,878  

SomaLogic, Inc. *

    42,206       107,625  

SP Plus Corp. *

    5,484       188,046  

SpartanNash Co.

    9,573       237,410  

Spire Global, Inc. *

    33,361       22,285  

SpringWorks Therapeutics, Inc. *

    9,882       254,363  

Sprouts Farmers Market, Inc. *

    28,781       1,008,198  

STAAR Surgical Co. *

    13,020       832,629  

Sterling Check Corp. *

    6,714       74,861  

Stoke Therapeutics, Inc. *

    6,122       50,996  

StoneCo Ltd. Class A * (Brazil)

    75,324       718,591  

Strategic Education, Inc.

    6,158       553,173  

Stride, Inc. *

    11,368       446,194  

SunOpta, Inc. * (Canada)

    27,036       208,177  

Supernus Pharmaceuticals, Inc. *

    13,188       477,801  

Surgery Partners, Inc. *

    14,162       488,164  

Surmodics, Inc. *

    3,813       86,860  

Sutro Biopharma, Inc. *

    16,154       74,631  

Syndax Pharmaceuticals, Inc. *

    16,052       339,018  

Tactile Systems Technology, Inc. *

    5,500       90,310  

Talaris Therapeutics, Inc. *

    6,058       11,389  

Tango Therapeutics, Inc. *

    13,129       51,860  

Target Hospitality Corp. *

    8,395       110,310  

Tarsus Pharmaceuticals, Inc. *

    5,112       64,258  

Tattooed Chef, Inc. *

    13,324       18,920  

Tejon Ranch Co. *

    5,981       109,273  

Tenaya Therapeutics, Inc. *

    8,212       23,404  

Textainer Group Holdings Ltd. (China)

    11,996       385,192  

TG Therapeutics, Inc. *

    36,847       554,179  

Theravance Biopharma, Inc. *

    17,771       192,815  

Theseus Pharmaceuticals, Inc. *

    4,288       38,077  

Third Harmonic Bio, Inc. *

    3,427       14,119  

Thorne HealthTech, Inc. *

    4,618       21,335  

Tootsie Roll Industries, Inc.

    4,239       190,395  

Transcat, Inc. *

    2,020       180,568  
   

    
Shares

   

    
Value

 

TransMedics Group, Inc. *

    8,239       $623,939  

Travere Therapeutics, Inc. *

    17,103       384,646  

Treace Medical Concepts, Inc. *

    9,946       250,540  

TreeHouse Foods, Inc. *

    13,750       693,413  

TriNet Group, Inc. *

    10,173       820,046  

Triton International Ltd. (Bermuda)

    15,830       1,000,773  

TrueBlue, Inc. *

    9,091       161,820  

Turning Point Brands, Inc.

    4,262       89,502  

Twist Bioscience Corp. *

    15,898       239,742  

Tyra Biosciences, Inc. *

    3,456       55,538  

Udemy, Inc. *

    20,272       179,002  

UFP Technologies, Inc. *

    1,837       238,516  

United Natural Foods, Inc. *

    16,345       430,691  

Universal Corp.

    6,744       356,690  

Universal Technical Institute, Inc. *

    8,476       62,553  

Upbound Group, Inc.

    13,967       342,331  

US Physical Therapy, Inc.

    3,446       337,398  

USANA Health Sciences, Inc. *

    2,971       186,876  

Utah Medical Products, Inc.

    985       93,348  

Utz Brands, Inc.

    18,038       297,086  

V2X, Inc. *

    3,277       130,162  

Vanda Pharmaceuticals, Inc. *

    16,014       108,735  

Varex Imaging Corp. *

    9,770       177,716  

Vaxart, Inc. *

    34,034       25,754  

Vaxcyte, Inc. *

    19,489       730,448  

VBI Vaccines, Inc. *

    53,523       16,217  

Vector Group Ltd.

    38,892       467,093  

Ventyx Biosciences, Inc. *

    7,024       235,304  

Vera Therapeutics, Inc. *

    6,426       49,866  

Veracyte, Inc. *

    19,793       441,384  

Vericel Corp. *

    12,677       371,690  

Veru, Inc. *

    18,025       20,909  

Verve Therapeutics, Inc. *

    12,657       182,514  

Viad Corp. *

    5,741       119,642  

Vicarious Surgical, Inc. *

    15,098       34,272  

ViewRay, Inc. *

    39,648       137,182  

Village Super Market, Inc. Class A

    2,310       52,853  

Vintage Wine Estates, Inc. *

    8,349       8,933  

Vir Biotechnology, Inc. *

    19,572       455,440  

Viridian Therapeutics, Inc. *

    10,485       266,738  

VistaGen Therapeutics, Inc. *

    54,507       6,797  

Vita Coco Co., Inc. *

    7,497       147,091  

Vital Farms, Inc. *

    8,027       122,813  

WD-40 Co.

    3,696       658,073  

Weis Markets, Inc.

    4,410       373,395  

Wejo Group Ltd. * (Bermuda)

    6,235       3,074  

Whole Earth Brands, Inc. *

    10,648       27,259  

Willdan Group, Inc. *

    3,203       50,031  

WW International, Inc. *

    15,006       61,825  

Xencor, Inc. *

    15,446       430,789  

Xeris Biopharma Holdings, Inc. *

    37,515       61,149  

Y-mAbs Therapeutics, Inc. *

    9,957       49,885  

Zentalis Pharmaceuticals, Inc. *

    13,028       224,082  

Zimvie, Inc. *

    5,789       41,854  

ZipRecruiter, Inc. Class A *

    19,363       308,646  

Zynex, Inc. *

    6,493       77,916  
   

 

 

 
    147,999,580  
   

 

 

 

Energy - 6.4%

 

Aemetis, Inc. *

    8,840       20,509  

Alpha Metallurgical Resources, Inc.

    4,131       644,436  

Alto Ingredients, Inc. *

    20,377       30,566  

Amplify Energy Corp. *

    9,684       66,529  

Arch Resources, Inc.

    4,124       542,141  

Archrock, Inc.

    36,616       357,738  

Aris Water Solution, Inc. Class A

    5,953       46,374  

Array Technologies, Inc. *

    41,087       898,984  

Battalion Oil Corp. *

    478       3,140  

Berry Corp.

    19,990       156,922  

Borr Drilling Ltd. * (United Arab Emirates)

    53,673       406,841  

Bristow Group, Inc. *

    6,668       149,363  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

133

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SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
Shares

   

    
Value

 

California Resources Corp.

    20,112       $774,312  

Callon Petroleum Co. *

    13,217       441,976  

ChampionX Corp.

    54,585       1,480,891  

Chord Energy Corp.

    11,379       1,531,613  

Civitas Resources, Inc.

    20,136       1,376,094  

Cleanspark, Inc. *

    20,273       56,359  

CNX Resources Corp. *

    45,574       730,095  

Comstock Resources, Inc.

    25,777       278,134  

CONSOL Energy, Inc.

    9,264       539,813  

Crescent Energy Co. Class A

    10,624       120,157  

CVR Energy, Inc.

    8,424       276,139  

Delek US Holdings, Inc.

    19,340       443,853  

Denbury, Inc. *

    13,695       1,200,093  

Diamond Offshore Drilling, Inc. *

    27,758       334,206  

DMC Global, Inc. *

    5,294       116,309  

Dril-Quip, Inc. *

    8,931       256,230  

Earthstone Energy, Inc. Class A *

    12,220       158,982  

Empire Petroleum Corp. *

    2,766       34,326  

Energy Vault Holdings, Inc. *

    23,503       50,296  

Eneti, Inc.

    5,910       55,259  

Equitrans Midstream Corp.

    111,666       645,429  

Excelerate Energy, Inc. Class A

    5,325       117,896  

Expro Group Holdings NV *

    23,434       430,248  

Fluence Energy, Inc. *

    9,905       200,576  

FuelCell Energy, Inc. *

    108,886       310,325  

FutureFuel Corp.

    7,097       52,376  

Gevo, Inc. *

    56,762       87,413  

Golar LNG Ltd. * (Cameroon)

    27,268       588,989  

Green Plains, Inc. *

    10,265       318,112  

Gulfport Energy Corp. *

    2,946       235,680  

Heliogen, Inc. *

    23,931       5,748  

Helix Energy Solutions Group, Inc. *

    38,090       294,817  

Helmerich & Payne, Inc.

    28,017       1,001,608  

HighPeak Energy, Inc.

    1,778       40,894  

Kinetik Holdings, Inc.

    4,871       152,462  

Kosmos Energy Ltd. * (Ghana)

    123,293       917,300  

Liberty Energy, Inc.

    36,474       467,232  

Magnolia Oil & Gas Corp. Class A

    47,471       1,038,666  

Matador Resources Co.

    30,720       1,463,808  

Montauk Renewables, Inc. *

    17,835       140,361  

Murphy Oil Corp.

    40,258       1,488,741  

Nabors Industries Ltd. *

    2,394       291,853  

NACCO Industries, Inc. Class A

    1,080       38,956  

National Energy Services Reunited Corp. *

    10,489       55,172  

Newpark Resources, Inc. *

    25,812       99,376  

NextDecade Corp. *

    8,872       44,094  

NexTier Oilfield Solutions, Inc. *

    47,356       376,480  

Noble Corp. PLC *

    22,848       901,811  

Northern Oil & Gas, Inc.

    18,036       547,393  

NOW, Inc. *

    29,266       326,316  

Oceaneering International, Inc. *

    27,215       479,800  

Oil States International, Inc. *

    17,196       143,243  

Par Pacific Holdings, Inc. *

    13,898       405,822  

Patterson-UTI Energy, Inc.

    58,393       683,198  

PBF Energy, Inc. Class A

    32,257       1,398,664  

Peabody Energy Corp. *

    32,076       821,146  

Permian Resources Corp.

    63,849       670,415  

ProFrac Holding Corp. Class A *

    6,451       81,734  

ProPetro Holding Corp. *

    24,544       176,471  

Ramaco Resources, Inc.

    6,187       54,507  

Ranger Oil Corp. Class A

    5,239       213,961  

REX American Resources Corp. *

    4,527       129,427  

Riley Exploration Permian, Inc.

    3,039       115,664  

Ring Energy, Inc. *

    24,141       45,868  

RPC, Inc.

    19,550       150,340  

SandRidge Energy, Inc. *

    5,917       85,264  

Select Energy Services, Inc. Class A

    19,247       133,959  

Shoals Technologies Group, Inc. Class A *

    44,301       1,009,620  

SilverBow Resources, Inc. *

    3,246       74,171  

Sitio Royalties Corp. Class A

    19,187       433,626  

SM Energy Co.

    32,846       924,943  

Solaris Oilfield Infrastructure, Inc. Class A

    8,990       76,775  
   

    
Shares

   

    
Value

 

Stem, Inc. *

    40,545       $229,890  

SunCoke Energy, Inc.

    23,274       209,001  

Sunnova Energy International, Inc. *

    26,517       414,196  

SunPower Corp. *

    21,646       299,581  

Talos Energy, Inc. *

    18,638       276,588  

Tellurian, Inc. *

    143,054       175,956  

TETRA Technologies, Inc. *

    34,967       92,663  

Tidewater, Inc. *

    12,889       568,147  

TPI Composites, Inc. *

    10,178       132,823  

US Silica Holdings, Inc. *

    20,929       249,892  

VAALCO Energy, Inc.

    29,265       132,570  

Valaris Ltd. *

    16,671       1,084,615  

Vertex Energy, Inc. *

    15,330       151,460  

Vital Energy, Inc. *

    4,715       214,721  

W&T Offshore, Inc. *

    26,922       136,764  

Warrior Met Coal, Inc.

    14,191       520,952  

Weatherford International PLC *

    19,249       1,142,428  
   

 

 

 
    40,599,677  
   

 

 

 

Financial - 21.0%

 

1st Source Corp.

    4,277       184,553  

Acadia Realty Trust REIT

    24,153       336,934  

ACNB Corp.

    2,538       82,612  

AFC Gamma, Inc. REIT

    4,115       50,038  

Agree Realty Corp. REIT

    23,948       1,643,072  

Alerus Financial Corp.

    4,370       70,139  

Alexander & Baldwin, Inc. REIT *

    19,821       374,815  

Alexander’s, Inc. REIT

    603       116,831  

Amalgamated Financial Corp.

    4,180       73,944  

Ambac Financial Group, Inc. *

    12,470       193,036  

Amerant Bancorp, Inc.

    7,762       168,901  

American Assets Trust, Inc. REIT

    13,629       253,363  

American Equity Investment Life Holding Co.

    19,253       702,542  

American National Bankshares, Inc.

    3,137       99,443  

Ameris Bancorp

    17,990       658,074  

AMERISAFE, Inc.

    5,085       248,911  

Angel Oak Mortgage REIT, Inc.

    3,681       26,871  

Anywhere Real Estate, Inc. *

    29,311       154,762  

Apartment Investment & Management Co. Class A REIT

    40,850       314,137  

Apollo Commercial Real Estate Finance, Inc. REIT

    37,921       353,045  

Apple Hospitality REIT, Inc.

    58,715       911,257  

Applied Digital Corp. *

    20,919       46,859  

Arbor Realty Trust, Inc. REIT

    44,628       512,776  

Ares Commercial Real Estate Corp. REIT

    15,222       138,368  

Argo Group International Holdings Ltd.

    8,821       258,367  

Armada Hoffler Properties, Inc. REIT

    17,038       201,219  

ARMOUR Residential REIT, Inc.

    39,030       204,908  

Arrow Financial Corp.

    3,690       91,918  

Artisan Partners Asset Management, Inc. Class A

    16,209       518,364  

Ashford Hospitality Trust, Inc. REIT *

    9,938       31,901  

AssetMark Financial Holdings, Inc. *

    5,895       185,398  

Associated Banc-Corp.

    40,725       732,235  

Associated Capital Group, Inc. Class A

    507       18,734  

Atlantic Union Bankshares Corp.

    20,360       713,618  

Atlanticus Holdings Corp. *

    1,279       34,699  

Avantax, Inc. *

    13,083       344,345  

Axos Financial, Inc. *

    15,615       576,506  

B Riley Financial, Inc.

    5,814       165,059  

Banc of California, Inc.

    12,967       162,477  

BancFirst Corp.

    5,450       452,895  

Banco Latinoamericano de Comercio Exterior SA (Panama)

    7,106       123,502  

Bancorp, Inc. *

    14,708       409,618  

Bank First Corp.

    1,891       139,140  

Bank of Marin Bancorp

    4,597       100,628  

Bank of NT Butterfield & Son Ltd. (Bermuda)

    13,464       363,528  

BankUnited, Inc.

    20,187       455,822  

Bankwell Financial Group, Inc.

    1,898       47,184  

Banner Corp.

    9,489       515,917  

Bar Harbor Bankshares

    4,199       111,064  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

134

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SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
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Value

 

BayCom Corp.

    3,365       $57,474  

BCB Bancorp, Inc.

    4,277       56,157  

Berkshire Hills Bancorp, Inc.

    11,394       285,534  

BGC Partners, Inc. Class A

    85,462       446,966  

Blackstone Mortgage Trust, Inc. Class A REIT

    47,467       847,286  

Blue Foundry Bancorp *

    7,307       69,563  

Blue Ridge Bankshares, Inc.

    4,942       50,408  

Bluerock Homes Trust, Inc. REIT *

    996       19,741  

Braemar Hotels & Resorts, Inc. REIT

    16,471       63,578  

Brandywine Realty Trust REIT

    48,359       228,738  

Bread Financial Holdings, Inc.

    8,017       243,075  

Bridgewater Bancshares, Inc. *

    6,000       65,040  

Brightsphere Investment Group, Inc.

    8,467       199,652  

BrightSpire Capital, Inc. REIT

    27,793       163,979  

Broadmark Realty Capital, Inc. REIT

    36,929       173,566  

Broadstone Net Lease, Inc. REIT

    47,458       807,261  

Brookfield Business Corp. Class A (Canada)

    7,170       142,109  

Brookline Bancorp, Inc.

    23,849       250,415  

BRP Group, Inc. Class A *

    16,411       417,824  

BRT Apartments Corp. REIT

    2,962       58,411  

Business First Bancshares, Inc.

    6,834       117,066  

Byline Bancorp, Inc.

    6,572       142,087  

Cadence Bank

    46,120       957,451  

Cambridge Bancorp

    1,939       125,667  

Camden National Corp.

    4,199       151,962  

Cannae Holdings, Inc. *

    18,942       382,250  

Capital Bancorp, Inc.

    2,234       37,174  

Capital City Bank Group, Inc.

    3,827       112,169  

Capitol Federal Financial, Inc.

    33,292       224,055  

Capstar Financial Holdings, Inc.

    5,885       89,158  

CareTrust REIT, Inc.

    26,731       523,393  

Carter Bankshares, Inc. *

    6,979       97,706  

Cathay General Bancorp

    19,395       669,515  

CBL & Associates Properties, Inc. REIT

    7,098       181,993  

Centerspace REIT

    4,153       226,878  

Central Pacific Financial Corp.

    6,796       121,648  

Chatham Lodging Trust REIT

    13,379       140,346  

Chicago Atlantic Real Estate Finance, Inc.

    1,993       26,925  

Chimera Investment Corp. REIT

    64,931       366,211  

Citizens & Northern Corp.

    4,143       88,577  

City Holding Co.

    4,031       366,337  

City Office REIT, Inc.

    12,171       83,980  

Civista Bancshares, Inc.

    4,343       73,310  

Claros Mortgage Trust, Inc. REIT

    25,821       300,815  

Clipper Realty, Inc. REIT

    3,507       20,130  

CNB Financial Corp.

    4,622       88,742  

CNO Financial Group, Inc.

    30,872       685,050  

Coastal Financial Corp. *

    2,871       103,385  

Cohen & Steers, Inc.

    6,861       438,830  

Colony Bankcorp, Inc.

    4,010       40,902  

Columbia Financial, Inc. *

    8,740       159,767  

Community Bank System, Inc.

    14,574       764,989  

Community Healthcare Trust, Inc. REIT

    6,196       226,774  

Community Trust Bancorp, Inc.

    3,689       139,998  

Compass Diversified Holdings

    17,056       325,428  

Compass, Inc. Class A *

    76,879       248,319  

ConnectOne Bancorp, Inc.

    10,724       189,600  

Consumer Portfolio Services, Inc. *

    2,941       31,439  

Corporate Office Properties Trust REIT

    30,726       728,513  

Crawford & Co. Class A

    4,680       39,125  

CrossFirst Bankshares, Inc. *

    11,653       122,123  

Cryptyde, Inc. *

    5,142       428  

CTO Realty Growth, Inc. REIT

    4,827       83,314  

Curo Group Holdings Corp.

    5,819       10,067  

Cushman & Wakefield PLC *

    42,826       451,386  

Customers Bancorp, Inc. *

    8,592       159,124  

CVB Financial Corp.

    37,158       619,795  

Diamond Hill Investment Group, Inc.

    863       142,033  

DiamondRock Hospitality Co. REIT

    57,973       471,320  

Dime Community Bancshares, Inc.

    8,897       202,140  

Diversified Healthcare Trust REIT

    70,553       95,247  

Doma Holdings, Inc. *

    38,651       15,750  
   

    
Shares

   

    
Value

 

Donegal Group, Inc. Class A

    4,250       $64,940  

Douglas Elliman, Inc.

    20,647       64,212  

Dynex Capital, Inc. REIT

    13,884       168,274  

Eagle Bancorp, Inc.

    7,888       264,011  

Easterly Government Properties, Inc. REIT

    23,597       324,223  

Eastern Bankshares, Inc.

    41,795       527,453  

eHealth, Inc. *

    6,957       65,118  

Ellington Financial, Inc. REIT

    15,146       184,933  

Elme Communities REIT

    23,016       411,066  

Empire State Realty Trust, Inc. Class A REIT

    37,332       242,285  

Employers Holdings, Inc.

    7,209       300,543  

Enact Holdings, Inc.

    8,054       184,114  

Encore Capital Group, Inc. *

    6,183       311,932  

Enova International, Inc. *

    8,269       367,392  

Enstar Group Ltd. *

    3,052       707,423  

Enterprise Bancorp, Inc.

    2,665       83,841  

Enterprise Financial Services Corp.

    9,498       423,516  

Equity Bancshares, Inc. Class A

    4,136       100,794  

Equity Commonwealth REIT

    28,666       593,673  

Esquire Financial Holdings, Inc.

    1,920       75,072  

Essent Group Ltd.

    28,743       1,151,157  

Essential Properties Realty Trust, Inc. REIT

    38,469       955,955  

eXp World Holdings, Inc.

    18,376       233,191  

EZCORP, Inc. Class A *

    14,170       121,862  

Farmers & Merchants Bancorp, Inc.

    3,097       75,319  

Farmers National Banc Corp.

    8,886       112,319  

Farmland Partners, Inc. REIT

    14,392       153,994  

FB Financial Corp.

    9,412       292,525  

Federal Agricultural Mortgage Corp. Class C

    2,423       322,719  

Federated Hermes, Inc.

    23,450       941,283  

Finance Of America Cos., Inc. Class A *

    5,255       6,516  

Financial Institutions, Inc.

    4,452       85,835  

First BanCorp

    49,813       568,864  

First Bancorp, Inc.

    3,166       81,968  

First Bancorp/Southern Pines NC

    10,320       366,566  

First Bancshares, Inc.

    5,708       147,438  

First Bank

    4,430       44,743  

First Busey Corp.

    14,444       293,791  

First Business Financial Services, Inc.

    2,084       63,583  

First Commonwealth Financial Corp.

    26,911       334,504  

First Community Bankshares, Inc.

    4,892       122,545  

First Financial Bancorp

    25,021       544,707  

First Financial Bankshares, Inc.

    35,422       1,129,962  

First Financial Corp.

    2,998       112,365  

First Foundation, Inc.

    14,379       107,124  

First Guaranty Bancshares, Inc.

    1,411       22,110  

First Internet Bancorp

    2,673       44,505  

First Interstate BancSystem, Inc. Class A

    24,379       727,957  

First Merchants Corp.

    15,591       513,723  

First Mid Bancshares, Inc.

    5,363       145,981  

First of Long Island Corp.

    6,523       88,061  

First Western Financial, Inc. *

    1,760       34,848  

Five Star Bancorp

    3,543       75,608  

Flushing Financial Corp.

    7,798       116,112  

Focus Financial Partners, Inc. Class A *

    15,754       817,160  

Four Corners Property Trust, Inc. REIT

    22,511       604,645  

Franklin BSP Realty Trust, Inc. REIT

    22,518       268,640  

Franklin Street Properties Corp. REIT

    29,405       46,166  

FRP Holdings, Inc. *

    1,863       107,830  

Fulton Financial Corp.

    44,113       609,642  

FVCBankcorp, Inc. *

    3,783       40,289  

GCM Grosvenor, Inc. Class A

    11,898       92,923  

Genworth Financial, Inc. Class A *

    137,169       688,588  

German American Bancorp, Inc.

    7,675       256,115  

Getty Realty Corp. REIT

    11,224       404,401  

Glacier Bancorp, Inc.

    30,296       1,272,735  

Gladstone Commercial Corp. REIT

    10,476       132,312  

Gladstone Land Corp. REIT

    8,305       138,278  

Global Medical REIT, Inc.

    17,213       156,810  

Global Net Lease, Inc. REIT

    28,727       369,429  

Goosehead Insurance, Inc. Class A *

    5,043       263,245  

Granite Point Mortgage Trust, Inc. REIT

    15,191       75,347  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

135

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
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Value

 

Great Southern Bancorp, Inc.

    2,460       $124,673  

Greene County Bancorp, Inc.

    1,548       35,109  

Greenlight Capital Re Ltd. Class A *

    7,649       71,824  

Guaranty Bancshares, Inc.

    2,295       63,962  

Hamilton Lane, Inc. Class A

    9,709       718,272  

Hancock Whitney Corp.

    23,593       858,785  

Hanmi Financial Corp.

    8,694       161,448  

Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT

    23,649       676,361  

HarborOne Bancorp, Inc.

    12,421       151,536  

HBT Financial, Inc.

    2,753       54,289  

HCI Group, Inc.

    1,867       100,071  

Heartland Financial USA, Inc.

    11,395       437,112  

Heritage Commerce Corp.

    16,489       137,353  

Heritage Financial Corp.

    9,657       206,660  

Hersha Hospitality Trust REIT

    9,820       65,990  

Hilltop Holdings, Inc.

    13,465       399,507  

Hingham Institution For Savings

    413       96,411  

Hippo Holdings, Inc. *

    4,255       69,059  

Home Bancorp, Inc.

    2,196       72,534  

Home BancShares, Inc.

    51,451       1,117,001  

Home Point Capital, Inc.

    1,960       3,783  

HomeStreet, Inc.

    5,106       91,857  

HomeTrust Bancshares, Inc.

    3,954       97,229  

Hope Bancorp, Inc.

    32,619       320,319  

Horace Mann Educators Corp.

    10,803       361,684  

Horizon Bancorp, Inc.

    10,763       119,039  

Houlihan Lokey, Inc.

    13,800       1,207,362  

Independence Realty Trust, Inc. REIT

    61,175       980,635  

Independent Bank Corp.

    12,655       830,421  

Independent Bank Corp. MI

    5,801       103,084  

Independent Bank Group, Inc.

    9,548       442,550  

Indus Realty Trust, Inc. REIT

    1,352       89,624  

Industrial Logistics Properties Trust REIT

    18,680       57,348  

Innovative Industrial Properties, Inc. REIT

    7,529       572,129  

International Bancshares Corp.

    14,618       625,943  

International Money Express, Inc. *

    8,259       212,917  

InvenTrust Properties Corp. REIT

    18,151       424,733  

Invesco Mortgage Capital, Inc. REIT

    9,273       102,838  

Investors Title Co.

    373       56,323  

iStar, Inc. REIT *

    10,953       321,677  

Jackson Financial, Inc. Class A

    20,160       754,186  

James River Group Holdings Ltd.

    9,238       190,765  

John Marshall Bancorp, Inc.

    3,207       69,271  

Kearny Financial Corp.

    16,274       132,145  

Kennedy-Wilson Holdings, Inc.

    32,099       532,522  

Kinsale Capital Group, Inc.

    5,908       1,773,285  

Kite Realty Group Trust REIT

    59,425       1,243,171  

KKR Real Estate Finance Trust, Inc. REIT

    16,175       184,233  

Ladder Capital Corp. REIT

    30,782       290,890  

Lakeland Bancorp, Inc.

    16,386       256,277  

Lakeland Financial Corp.

    6,647       416,368  

Legacy Housing Corp. *

    2,286       52,029  

Lemonade, Inc. *

    12,860       183,384  

LendingClub Corp. *

    28,655       206,603  

LendingTree, Inc. *

    3,022       80,567  

Live Oak Bancshares, Inc.

    9,311       226,909  

LTC Properties, Inc. REIT

    11,094       389,732  

Luther Burbank Corp.

    4,448       42,167  

LXP Industrial Trust REIT

    73,997       762,909  

Macatawa Bank Corp.

    7,514       76,793  

Macerich Co. REIT

    58,824       623,534  

Marcus & Millichap, Inc.

    6,955       223,325  

MBIA, Inc. *

    13,661       126,501  

McGrath RentCorp

    6,653       620,791  

Mercantile Bank Corp.

    4,061       124,185  

Merchants Bancorp

    4,198       109,316  

Mercury General Corp.

    7,482       237,479  

Metrocity Bankshares, Inc.

    5,458       93,277  

Metropolitan Bank Holding Corp. *

    2,787       94,451  

MFA Financial, Inc. REIT

    28,869       286,380  

Mid Penn Bancorp, Inc.

    4,078       104,438  
   

    
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Value

 

Midland States Bancorp, Inc.

    6,065       $129,912  

MidWestOne Financial Group, Inc.

    4,126       100,757  

Moelis & Co. Class A

    17,370       667,703  

Mr Cooper Group, Inc. *

    18,797       770,113  

MVB Financial Corp.

    2,897       59,794  

National Bank Holdings Corp. Class A

    7,737       258,880  

National Health Investors, Inc. REIT

    11,339       584,866  

National Western Life Group, Inc. Class A

    618       149,939  

Navient Corp.

    27,674       442,507  

NBT Bancorp, Inc.

    11,309       381,226  

Necessity Retail REIT, Inc. REIT

    37,120       233,114  

Nelnet, Inc. Class A

    4,061       373,165  

NerdWallet, Inc. Class A *

    7,145       115,606  

NETSTREIT Corp. REIT

    15,207       277,984  

New York Mortgage Trust, Inc. REIT *

    25,592       254,896  

Newmark Group, Inc. Class A

    38,156       270,144  

Nexpoint Real Estate Finance, Inc. REIT

    1,781       27,908  

NexPoint Residential Trust, Inc. REIT

    5,961       260,317  

NI Holdings, Inc. *

    2,437       31,681  

Nicolet Bankshares, Inc. *

    3,237       204,093  

NMI Holdings, Inc. Class A *

    22,051       492,399  

Northeast Bank

    1,878       63,213  

Northfield Bancorp, Inc.

    10,985       129,403  

Northwest Bancshares, Inc.

    32,331       388,942  

OceanFirst Financial Corp.

    15,899       293,814  

Offerpad Solutions, Inc. *

    19,220       10,129  

Office Properties Income Trust REIT

    13,833       170,146  

OFG Bancorp

    12,930       322,474  

Old National Bancorp

    80,348       1,158,618  

Old Second Bancorp, Inc.

    11,761       165,360  

One Liberty Properties, Inc. REIT

    4,590       105,249  

Oportun Financial Corp. *

    8,309       32,073  

Oppenheimer Holdings, Inc. Class A

    2,365       92,590  

OppFi, Inc. *

    2,693       5,521  

Orchid Island Capital, Inc. REIT

    8,905       95,551  

Origin Bancorp, Inc.

    6,361       204,506  

Orion Office REIT, Inc. REIT

    15,895       106,497  

Orrstown Financial Services, Inc.

    3,134       62,241  

Outfront Media, Inc. REIT

    39,558       642,026  

Pacific Premier Bancorp, Inc.

    24,843       596,729  

Palomar Holdings, Inc. *

    6,634       366,197  

Paramount Group, Inc. REIT

    47,763       217,799  

Park National Corp.

    3,897       462,067  

Parke Bancorp, Inc.

    3,261       57,981  

Pathward Financial, Inc.

    7,274       301,798  

PCB Bancorp

    3,596       52,106  

Peapack-Gladstone Financial Corp.

    4,471       132,431  

Pebblebrook Hotel Trust REIT

    36,102       506,872  

PennyMac Financial Services, Inc.

    7,472       445,406  

PennyMac Mortgage Investment Trust REIT

    24,429       301,210  

Peoples Bancorp, Inc.

    7,263       187,022  

Peoples Financial Services Corp.

    1,981       85,876  

Perella Weinberg Partners

    10,327       93,976  

Phillips Edison & Co., Inc. REIT

    32,364       1,055,714  

Physicians Realty Trust REIT

    61,837       923,226  

Piedmont Office Realty Trust, Inc. Class A REIT

    30,426       222,110  

Pioneer Bancorp, Inc. *

    3,302       32,558  

Piper Sandler Cos.

    4,727       655,209  

PJT Partners, Inc. Class A

    6,391       461,366  

Plymouth Industrial REIT, Inc. REIT

    10,352       217,496  

Postal Realty Trust, Inc. Class A REIT

    5,575       84,852  

PotlatchDeltic Corp. REIT

    21,748       1,076,526  

PRA Group, Inc. *

    10,304       401,444  

Preferred Bank

    2,729       149,576  

Premier Financial Corp.

    9,188       190,467  

Primis Financial Corp.

    6,934       66,774  

ProAssurance Corp.

    15,153       280,027  

Provident Bancorp, Inc.

    4,605       31,498  

Provident Financial Services, Inc.

    19,430       372,667  

QCR Holdings, Inc.

    4,401       193,248  

Radian Group, Inc.

    42,876       947,560  

Radius Global Infrastructure, Inc. Class A *

    21,153       310,315  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

136

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
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Value

 

RBB Bancorp

    4,055       $62,853  

RE/MAX Holdings, Inc. Class A

    5,257       98,621  

Ready Capital Corp. REIT

    19,695       200,298  

Red River Bancshares, Inc.

    1,395       67,113  

Redfin Corp. *

    28,059       254,215  

Redwood Trust, Inc. REIT

    29,869       201,317  

Regional Management Corp.

    2,179       56,850  

Renasant Corp.

    14,687       449,128  

Republic Bancorp, Inc. Class A

    2,481       105,269  

Republic First Bancorp, Inc. *

    12,170       16,551  

Retail Opportunity Investments Corp. REIT

    31,028       433,151  

RLI Corp.

    10,694       1,421,340  

RLJ Lodging Trust REIT

    42,658       452,175  

RMR Group, Inc. Class A

    4,232       111,048  

Root, Inc. Class A *

    2,147       9,683  

RPT Realty REIT

    23,181       220,451  

Ryman Hospitality Properties, Inc. REIT

    14,693       1,318,403  

S&T Bancorp, Inc.

    10,345       325,350  

Sabra Health Care REIT, Inc.

    62,757       721,706  

Safety Insurance Group, Inc.

    3,743       278,928  

Sandy Spring Bancorp, Inc.

    11,460       297,731  

Saul Centers, Inc. REIT

    3,363       131,157  

Sculptor Capital Management, Inc.

    6,599       56,817  

Seacoast Banking Corp. of Florida

    17,753       420,746  

Selective Insurance Group, Inc.

    16,316       1,555,404  

Selectquote, Inc. *

    38,528       83,606  

Service Properties Trust REIT

    44,592       444,136  

ServisFirst Bancshares, Inc.

    13,709       748,923  

Shore Bancshares, Inc.

    5,478       78,226  

Sierra Bancorp

    4,016       69,156  

Silvercrest Asset Management Group, Inc. Class A

    2,703       49,141  

Simmons First National Corp. Class A

    32,914       575,666  

SiriusPoint Ltd. * (Bermuda)

    26,349       214,217  

SITE Centers Corp. REIT

    52,075       639,481  

Skyward Specialty Insurance Group, Inc. *

    1,994       43,609  

SmartFinancial, Inc.

    3,979       92,074  

South Plains Financial, Inc.

    2,964       63,459  

Southern First Bancshares, Inc. *

    2,115       64,931  

Southern Missouri Bancorp, Inc.

    2,222       83,125  

Southside Bancshares, Inc.

    8,002       265,666  

SouthState Corp.

    20,508       1,461,400  

St. Joe Co.

    9,580       398,624  

STAG Industrial, Inc. REIT

    49,453       1,672,500  

Star Holdings *

    3,395       59,039  

Stellar Bancorp, Inc.

    12,396       305,066  

StepStone Group, Inc. Class A

    14,887       361,307  

Sterling Bancorp, Inc. *

    5,290       29,941  

Stewart Information Services Corp.

    7,525       303,634  

Stock Yards Bancorp, Inc.

    7,873       434,117  

StoneX Group, Inc. *

    4,838       500,878  

Stratus Properties, Inc.

    1,416       28,320  

Summit Financial Group, Inc.

    3,486       72,335  

Summit Hotel Properties, Inc. REIT

    29,249       204,743  

Sunlight Financial Holdings, Inc. *

    7,562       2,362  

Sunstone Hotel Investors, Inc. REIT

    57,423       567,339  

SWK Holdings Corp. *

    1,531       27,344  

Tanger Factory Outlet Centers, Inc. REIT

    27,148       532,915  

Terreno Realty Corp. REIT

    21,899       1,414,675  

Texas Capital Bancshares, Inc. *

    13,250       648,720  

Third Coast Bancshares, Inc. *

    3,504       55,048  

Tiptree, Inc.

    6,469       94,253  

Tompkins Financial Corp.

    3,821       252,988  

Towne Bank

    19,054       507,789  

TPG RE Finance Trust, Inc. REIT

    18,201       132,139  

Transcontinental Realty Investors, Inc. REIT *

    349       14,794  

Trean Insurance Group, Inc. *

    6,132       37,528  

TriCo Bancshares

    8,442       351,103  

Triumph Financial, Inc. *

    6,284       364,849  

Trupanion, Inc. *

    10,516       451,031  

TrustCo Bank Corp.

    5,333       170,336  

Trustmark Corp.

    16,544       408,637  

Two Harbors Investment Corp. REIT

    25,738       378,606  
   

    
Shares

   

    
Value

 

UMB Financial Corp.

    12,141       $700,779  

UMH Properties, Inc. REIT

    14,325       211,867  

United Bankshares, Inc.

    35,955       1,265,616  

United Community Banks, Inc.

    28,350       797,202  

United Fire Group, Inc.

    5,938       157,654  

Uniti Group, Inc. REIT

    66,310       235,401  

Unity Bancorp, Inc.

    2,261       51,573  

Universal Health Realty Income Trust REIT

    3,362       161,746  

Universal Insurance Holdings, Inc.

    6,721       122,457  

Univest Financial Corp.

    8,159       193,695  

Urban Edge Properties REIT

    30,102       453,336  

Urstadt Biddle Properties, Inc. Class A REIT

    7,347       129,087  

USCB Financial Holdings, Inc. *

    2,558       25,299  

Valley National Bancorp

    117,672       1,087,289  

Velocity Financial, Inc. *

    2,465       22,259  

Veris Residential, Inc. REIT *

    23,949       350,613  

Veritex Holdings, Inc.

    13,677       249,742  

Victory Capital Holdings, Inc. Class A

    4,290       125,568  

Virtus Investment Partners, Inc.

    1,849       352,031  

Walker & Dunlop, Inc.

    8,291       631,525  

Washington Federal, Inc.

    17,448       525,534  

Washington Trust Bancorp, Inc.

    4,592       159,159  

Waterstone Financial, Inc.

    5,473       82,806  

WesBanco, Inc.

    15,303       469,802  

West BanCorp, Inc.

    4,532       82,800  

Westamerica BanCorp

    6,938       307,353  

Whitestone REIT

    14,017       128,956  

WisdomTree, Inc.

    37,968       222,492  

World Acceptance Corp. *

    1,113       92,702  

WSFS Financial Corp.

    16,763       630,456  

Xenia Hotels & Resorts, Inc. REIT

    31,056       406,523  
   

 

 

 
    133,702,805  
   

 

 

 

Industrial - 14.6%

 

908 Devices, Inc. *

    6,002       51,617  

AAON, Inc.

    11,974       1,157,766  

AAR Corp. *

    8,890       484,949  

Advanced Energy Industries, Inc.

    10,220       1,001,560  

Aerojet Rocketdyne Holdings, Inc. *

    21,710       1,219,451  

AeroVironment, Inc. *

    6,626       607,339  

AerSale Corp. *

    7,056       121,504  

AEye, Inc. *

    36,289       11,424  

Air Transport Services Group, Inc. *

    15,337       319,470  

Akoustis Technologies, Inc. *

    13,687       42,156  

Alamo Group, Inc.

    2,728       502,388  

Albany International Corp. Class A

    8,499       759,471  

Allied Motion Technologies, Inc.

    3,446       133,188  

American Woodmark Corp. *

    4,645       241,865  

AMMO, Inc. *

    24,273       47,818  

Apogee Enterprises, Inc.

    5,639       243,887  

Applied Industrial Technologies, Inc.

    10,458       1,486,396  

ArcBest Corp.

    6,566       606,830  

Archer Aviation, Inc. Class A *

    38,942       111,374  

Arcosa, Inc.

    13,155       830,212  

Ardmore Shipping Corp. (Ireland)

    10,774       160,209  

Argan, Inc.

    3,217       130,192  

Astec Industries, Inc.

    6,382       263,258  

Astra Space, Inc. *

    41,037       17,441  

Astronics Corp. *

    6,683       89,285  

Atkore, Inc. *

    10,737       1,508,334  

Atlas Technical Consultants, Inc. *

    4,893       59,646  

Babcock & Wilcox Enterprises, Inc. *

    15,816       95,845  

Badger Meter, Inc.

    7,995       973,951  

Barnes Group, Inc.

    13,021       524,486  

Belden, Inc.

    11,601       1,006,619  

Benchmark Electronics, Inc.

    9,797       232,091  

Berkshire Grey, Inc. *

    14,515       20,031  

Blink Charging Co. *

    10,403       89,986  

Bloom Energy Corp. Class A *

    48,936       975,294  

Boise Cascade Co.

    10,660       674,245  

Brady Corp. Class A

    12,274       659,482  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

137

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
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Value

 

Cactus, Inc. Class A

    17,121       $705,899  

Cadre Holdings, Inc.

    5,135       110,608  

Caesarstone Ltd.

    6,257       25,841  

Casella Waste Systems, Inc. Class A *

    13,611       1,125,085  

Centrus Energy Corp. Class A *

    2,692       86,682  

Charge Enterprises, Inc. *

    35,341       38,875  

Chart Industries, Inc. *

    11,614       1,456,396  

Chase Corp.

    2,138       223,913  

CIRCOR International, Inc. *

    5,191       161,544  

Clearwater Paper Corp. *

    4,741       158,444  

Columbus McKinnon Corp.

    7,211       267,961  

Comfort Systems USA, Inc.

    9,695       1,415,082  

Comtech Telecommunications Corp.

    7,330       91,478  

Concrete Pumping Holdings, Inc. *

    7,352       49,994  

Construction Partners, Inc. Class A *

    11,205       301,863  

Costamare, Inc. (Monaco)

    14,551       136,925  

Covenant Logistics Group, Inc.

    2,358       83,520  

CryoPort, Inc. *

    12,389       297,336  

CSW Industrials, Inc.

    3,993       554,747  

CTS Corp.

    8,529       421,844  

Daseke, Inc. *

    11,415       88,238  

DHT Holdings, Inc.

    37,261       402,791  

Dorian LPG Ltd.

    8,850       176,469  

Ducommun, Inc. *

    2,897       158,495  

DXP Enterprises, Inc. *

    4,005       107,815  

Dycom Industries, Inc. *

    7,855       735,621  

Eagle Bulk Shipping, Inc.

    3,708       168,714  

Eastman Kodak Co. *

    16,400       67,240  

EMCOR Group, Inc.

    12,905       2,098,224  

Encore Wire Corp.

    4,806       890,696  

Energizer Holdings, Inc.

    19,171       665,234  

Energy Recovery, Inc. *

    15,179       349,876  

Enerpac Tool Group Corp.

    15,642       398,871  

EnerSys

    11,116       965,758  

Enovix Corp. *

    30,449       453,995  

EnPro Industries, Inc.

    5,623       584,173  

ESCO Technologies, Inc.

    7,031       671,109  

ESS Tech, Inc. *

    22,363       31,085  

Evolv Technologies Holdings, Inc. *

    22,559       70,384  

Evoqua Water Technologies Corp. *

    32,039       1,592,979  

Exponent, Inc.

    13,864       1,382,102  

Fabrinet * (Thailand)

    10,094       1,198,763  

FARO Technologies, Inc. *

    5,229       128,686  

Federal Signal Corp.

    16,428       890,562  

FLEX LNG Ltd. * (Norway)

    7,906       265,483  

Fluor Corp. *

    38,792       1,199,061  

Forward Air Corp.

    7,354       792,467  

Franklin Electric Co., Inc.

    12,592       1,184,907  

Frontdoor, Inc. *

    22,410       624,791  

Frontline PLC (Norway)

    34,039       563,686  

GATX Corp.

    9,535       1,049,041  

Genco Shipping & Trading Ltd.

    10,245       160,437  

Gibraltar Industries, Inc. *

    8,614       417,779  

Golden Ocean Group Ltd. * (Norway)

    34,268       326,231  

GoPro, Inc. Class A *

    36,282       182,498  

Gorman-Rupp Co.

    6,529       163,225  

GrafTech International Ltd.

    54,669       265,691  

Granite Construction, Inc.

    11,934       490,249  

Great Lakes Dredge & Dock Corp. *

    18,291       99,320  

Greenbrier Cos., Inc.

    8,915       286,796  

Greif, Inc. Class A

    6,792       430,409  

Greif, Inc. Class B

    1,595       122,049  

Griffon Corp.

    11,848       379,254  

Harsco Corp. *

    22,315       152,411  

Heartland Express, Inc.

    12,942       206,037  

Helios Technologies, Inc.

    8,771       573,623  

Heritage-Crystal Clean, Inc. *

    4,452       158,536  

Hillenbrand, Inc.

    18,850       895,940  

Hillman Solutions Corp. *

    37,069       312,121  

Hub Group, Inc. Class A *

    8,742       733,803  

Hydrofarm Holdings Group, Inc. *

    11,190       19,359  

Hyster-Yale Materials Handling, Inc.

    2,847       142,037  
   

    
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Value

 

Ichor Holdings Ltd. *

    7,973       $261,036  

Identiv, Inc. *

    5,886       36,140  

IES Holdings, Inc. *

    2,461       106,044  

Insteel Industries, Inc.

    5,299       147,418  

International Seaways, Inc.

    13,199       550,134  

Itron, Inc. *

    12,255       679,540  

Janus International Group, Inc. *

    22,097       217,876  

JELD-WEN Holding, Inc. *

    21,982       278,292  

Joby Aviation, Inc. *

    70,674       306,725  

John Bean Technologies Corp.

    8,596       939,457  

Kadant, Inc.

    3,154       657,672  

Kaman Corp.

    7,854       179,542  

Karat Packaging, Inc.

    1,306       17,409  

Kennametal, Inc.

    21,694       598,321  

Kimball Electronics, Inc. *

    6,838       164,796  

Knowles Corp. *

    24,139       410,363  

Kratos Defense & Security Solutions, Inc. *

    33,181       447,280  

Latham Group, Inc. *

    12,303       35,187  

Li-Cycle Holdings Corp. * (Canada)

    38,046       214,199  

Lindsay Corp.

    2,958       447,043  

LSB Industries, Inc. *

    20,528       212,054  

Luxfer Holdings PLC (United Kingdom)

    7,978       134,828  

Manitowoc Co., Inc. *

    9,869       168,661  

Marten Transport Ltd.

    15,506       324,851  

Masonite International Corp. *

    5,971       541,988  

Materion Corp.

    5,551       643,916  

Matson, Inc.

    10,082       601,593  

Mesa Laboratories, Inc.

    1,427       249,340  

MicroVision, Inc. *

    47,491       126,801  

Mirion Technologies, Inc. *

    37,506       320,301  

Modine Manufacturing Co. *

    13,216       304,629  

Momentus, Inc. *

    14,804       8,660  

Montrose Environmental Group, Inc. *

    7,599       271,056  

Moog, Inc. Class A

    7,899       795,824  

Mueller Industries, Inc.

    15,179       1,115,353  

Mueller Water Products, Inc. Class A

    42,897       597,984  

Myers Industries, Inc.

    9,513       203,864  

MYR Group, Inc. *

    4,452       560,997  

Napco Security Technologies, Inc. *

    8,336       313,267  

National Presto Industries, Inc.

    1,278       92,131  

NEXTracker, Inc. Class A *

    8,268       299,798  

NL Industries, Inc.

    2,103       12,744  

nLight, Inc. *

    12,119       123,371  

Nordic American Tankers Ltd.

    54,274       214,925  

Northwest Pipe Co. *

    2,663       83,165  

Novanta, Inc. *

    9,714       1,545,400  

NuScale Power Corp. *

    8,574       77,938  

NV5 Global, Inc. *

    3,614       375,748  

O-I Glass, Inc. *

    42,008       954,002  

Olympic Steel, Inc.

    2,532       132,196  

Omega Flex, Inc.

    916       102,079  

OSI Systems, Inc. *

    4,334       443,628  

Pactiv Evergreen, Inc.

    12,227       97,816  

PAM Transportation Services, Inc. *

    2,014       57,661  

Park Aerospace Corp.

    5,378       72,334  

PGT Innovations, Inc. *

    15,353       385,514  

Plexus Corp. *

    7,432       725,140  

Powell Industries, Inc.

    2,698       114,908  

Primoris Services Corp.

    14,675       361,886  

Proto Labs, Inc. *

    7,484       248,095  

Pure Cycle Corp. *

    5,726       54,111  

PureCycle Technologies, Inc. *

    29,874       209,118  

Radiant Logistics, Inc. *

    11,157       73,190  

Ranpak Holdings Corp. *

    10,823       56,496  

RBC Bearings, Inc. *

    7,775       1,809,476  

Redwire Corp. *

    6,759       20,480  

Rocket Lab USA, Inc. *

    60,053       242,614  

Ryerson Holding Corp.

    5,165       187,903  

Safe Bulkers, Inc. (Greece)

    19,002       70,117  

Saia, Inc. *

    7,241       1,970,131  

Sanmina Corp. *

    15,612       952,176  

Sarcos Technology & Robotics Corp. *

    29,082       13,805  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

138

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March 31, 2023 (Unaudited)

 

 

 

   

    
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Scorpio Tankers, Inc. (Monaco)

    12,789       $720,149  

SFL Corp. Ltd. (Norway)

    31,383       298,139  

Sight Sciences, Inc. *

    6,414       56,058  

Simpson Manufacturing Co., Inc.

    11,622       1,274,236  

SmartRent, Inc. *

    33,349       85,040  

Smith & Wesson Brands, Inc.

    12,689       156,202  

SPX Technologies, Inc. *

    11,973       845,054  

Standex International Corp.

    3,173       388,502  

Sterling Infrastructure, Inc. *

    7,997       302,926  

Stoneridge, Inc. *

    7,629       142,662  

Sturm Ruger & Co., Inc.

    4,755       273,127  

Summit Materials, Inc. Class A *

    32,336       921,253  

Teekay Corp. * (Bermuda)

    19,788       122,290  

Teekay Tankers Ltd. Class A * (Canada)

    6,129       263,118  

Tennant Co.

    4,844       331,959  

Terex Corp.

    18,194       880,226  

Thermon Group Holdings, Inc. *

    9,371       233,525  

TimkenSteel Corp. *

    11,882       217,916  

Transphorm, Inc. *

    5,790       23,102  

Tredegar Corp.

    7,911       72,227  

TriMas Corp.

    11,117       309,720  

Trinity Industries, Inc.

    22,151       539,598  

Triumph Group, Inc. *

    17,961       208,168  

TTM Technologies, Inc. *

    27,907       376,465  

Turtle Beach Corp. *

    4,263       42,715  

Tutor Perini Corp. *

    11,284       69,622  

UFP Industries, Inc.

    16,274       1,293,295  

Universal Logistics Holdings, Inc.

    1,745       50,867  

Vicor Corp. *

    6,066       284,738  

View, Inc. *

    34,012       17,006  

Vishay Intertechnology, Inc.

    35,739       808,416  

Vishay Precision Group, Inc. *

    3,263       136,263  

Watts Water Technologies, Inc. Class A

    7,436       1,251,628  

Werner Enterprises, Inc.

    17,306       787,250  

Worthington Industries, Inc.

    8,659       559,804  

Xometry, Inc. Class A *

    9,527       142,619  

Zurn Elkay Water Solutions Corp.

    33,652       718,807  
   

 

 

 
    93,225,447  
   

 

 

 

Technology - 10.4%

 

3D Systems Corp. *

    33,692       361,178  

8x8, Inc. *

    29,941       124,854  

ACI Worldwide, Inc. *

    30,575       824,913  

ACM Research, Inc. Class A *

    13,302       155,633  

ACV Auctions, Inc. Class A *

    31,905       411,894  

Adeia, Inc.

    29,025       257,162  

Agilysys, Inc. *

    5,498       453,640  

Alignment Healthcare, Inc. *

    27,540       175,154  

Alkami Technology, Inc. *

    10,533       133,348  

Alpha & Omega Semiconductor Ltd. *

    6,115       164,799  

Altair Engineering, Inc. Class A *

    14,229       1,026,053  

Ambarella, Inc. *

    10,000       774,200  

American Software, Inc. Class A

    8,132       102,545  

Amkor Technology, Inc.

    27,655       719,583  

Amplitude, Inc. Class A *

    15,782       196,328  

Apollo Medical Holdings, Inc. *

    10,836       395,189  

Appfolio, Inc. Class A *

    5,301       659,868  

Appian Corp. Class A *

    10,863       482,100  

Arteris, Inc. *

    5,296       22,402  

Asana, Inc. Class A *

    19,700       416,261  

Atomera, Inc. *

    6,243       39,768  

AvePoint, Inc. *

    35,515       146,322  

Avid Technology, Inc. *

    9,399       300,580  

AvidXchange Holdings, Inc. *

    38,970       303,966  

Axcelis Technologies, Inc. *

    8,854       1,179,795  

AXT, Inc. *

    11,917       47,430  

Bandwidth, Inc. Class A *

    6,640       100,928  

BigCommerce Holdings, Inc. *

    18,308       163,674  

Blackbaud, Inc. *

    12,687       879,209  

Blackline, Inc. *

    15,072       1,012,085  

Blend Labs, Inc. Class A *

    51,984       51,786  
   

    
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Value

 

Box, Inc. Class A *

    38,197       $1,023,298  

Brightcove, Inc. *

    12,051       53,627  

C3.ai, Inc. Class A *

    16,183       543,263  

Cantaloupe, Inc. *

    16,603       94,637  

Cardlytics, Inc. *

    9,074       30,806  

Cerberus Cyber Sentinel Corp. *

    12,986       4,389  

Cerence, Inc. *

    11,241       315,760  

CEVA, Inc. *

    6,475       197,034  

Clear Secure, Inc. Class A

    17,582       460,121  

Cohu, Inc. *

    12,683       486,900  

CommVault Systems, Inc. *

    12,157       689,788  

Computer Programs & Systems, Inc. *

    4,031       121,736  

Conduent, Inc. *

    47,287       162,194  

Consensus Cloud Solutions, Inc. *

    5,162       175,973  

Corsair Gaming, Inc. *

    10,756       197,373  

CS Disco, Inc. *

    6,360       42,230  

CSG Systems International, Inc.

    8,367       449,308  

Cvent Holding Corp. *

    13,601       113,704  

Daily Journal Corp. *

    344       98,026  

Desktop Metal, Inc. Class A *

    74,045       170,304  

Diebold Nixdorf, Inc. *

    20,849       25,019  

Digi International, Inc. *

    9,707       326,932  

Digimarc Corp. *

    3,820       75,063  

Digital Turbine, Inc. *

    24,758       306,009  

DigitalOcean Holdings, Inc. *

    18,954       742,428  

Diodes, Inc. *

    12,167       1,128,611  

Domo, Inc. Class B *

    8,752       124,191  

Donnelley Financial Solutions, Inc. *

    6,807       278,134  

Duolingo, Inc. *

    6,620       943,946  

E2open Parent Holdings, Inc. *

    53,117       309,141  

Ebix, Inc.

    7,481       98,674  

eGain Corp. *

    5,873       44,576  

Enfusion, Inc. Class A *

    7,114       74,697  

EngageSmart, Inc. *

    10,024       192,962  

Envestnet, Inc. *

    14,895       873,890  

Everbridge, Inc. *

    10,638       368,819  

EverCommerce, Inc. *

    6,233       65,945  

Evolent Health, Inc. Class A *

    22,260       722,337  

ExlService Holdings, Inc. *

    8,843       1,431,063  

Faraday Future Intelligent Electric, Inc. *

    127,442       45,127  

Fastly, Inc. Class A *

    30,618       543,776  

ForgeRock, Inc. Class A *

    11,850       244,110  

FormFactor, Inc. *

    20,913       666,079  

Grid Dynamics Holdings, Inc. *

    15,267       174,960  

Health Catalyst, Inc. *

    15,442       180,208  

HireRight Holdings Corp. *

    5,970       63,342  

IBEX Holdings Ltd. *

    2,665       65,026  

Impinj, Inc. *

    5,913       801,330  

Insight Enterprises, Inc. *

    8,632       1,234,031  

Inspired Entertainment, Inc. *

    5,923       75,755  

Instructure Holdings, Inc. *

    4,867       126,055  

Intapp, Inc. *

    4,189       187,835  

Integral Ad Science Holding Corp. *

    10,995       156,899  

IonQ, Inc. *

    33,681       207,138  

IronNet, Inc. *

    18,125       6,373  

Kaleyra, Inc. * (Italy)

    2,647       4,368  

Kulicke & Soffa Industries, Inc. (Singapore)

    15,197       800,730  

Latch, Inc. *

    25,273       19,261  

LivePerson, Inc. *

    20,407       89,995  

LiveVox Holdings, Inc. *

    4,002       12,366  

MACOM Technology Solutions Holdings, Inc. *

    14,775       1,046,661  

Markforged Holding Corp. *

    30,345       29,095  

Matterport, Inc. *

    62,120       169,588  

Maximus, Inc.

    16,489       1,297,684  

MaxLinear, Inc. *

    19,672       692,651  

MeridianLink, Inc. *

    6,513       112,675  

MicroStrategy, Inc. Class A *

    2,620       765,878  

Mitek Systems, Inc. *

    12,097       116,010  

Model N, Inc. *

    10,009       335,001  

Momentive Global, Inc. *

    35,080       326,946  

N-Able, Inc. *

    18,794       248,081  

NetScout Systems, Inc. *

    18,384       526,702  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

139

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SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    
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Value

 

NextGen Healthcare, Inc. *

    14,849       $258,521  

NextNav, Inc. *

    17,389       35,300  

Nutex Health, Inc. *

    68,617       69,303  

Olo, Inc. Class A *

    25,454       207,705  

ON24, Inc. *

    11,692       102,422  

OneSpan, Inc. *

    10,665       186,638  

Onto Innovation, Inc. *

    13,517       1,187,874  

Ouster, Inc. *

    68,759       57,531  

Outbrain, Inc. *

    11,464       47,346  

Outset Medical, Inc. *

    12,778       235,115  

PagerDuty, Inc. *

    23,478       821,260  

PAR Technology Corp. *

    7,150       242,814  

Parsons Corp. *

    9,339       417,827  

PDF Solutions, Inc. *

    8,366       354,718  

Pear Therapeutics, Inc. *

    16,282       4,152  

Photronics, Inc. *

    15,785       261,715  

Phreesia, Inc. *

    13,273       428,585  

Pitney Bowes, Inc.

    36,845       143,327  

Playstudios, Inc. *

    21,641       79,855  

Porch Group, Inc. *

    22,166       31,697  

Power Integrations, Inc.

    15,501       1,312,005  

PowerSchool Holdings, Inc. Class A *

    12,660       250,921  

Privia Health Group, Inc. *

    13,891       383,531  

Progress Software Corp.

    11,979       688,194  

PROS Holdings, Inc. *

    11,491       314,853  

PubMatic, Inc. Class A *

    11,723       162,012  

Qualys, Inc. *

    10,528       1,368,851  

Rackspace Technology, Inc. *

    15,323       28,807  

Rambus, Inc. *

    29,245       1,499,099  

Rapid7, Inc. *

    16,058       737,223  

Red Violet, Inc. *

    2,399       42,222  

Rigetti Computing, Inc. Class A *

    29,356       21,236  

Rimini Street, Inc. *

    12,495       51,479  

Sapiens International Corp. NV (Israel)

    8,792       190,962  

Schrodinger, Inc. *

    14,550       383,102  

SecureWorks Corp. Class A *

    3,091       26,490  

Semtech Corp. *

    16,941       408,956  

Sharecare, Inc. *

    79,589       113,016  

Silicon Laboratories, Inc. *

    8,643       1,513,303  

Simulations Plus, Inc.

    4,480       196,851  

SiTime Corp. *

    4,466       635,199  

Skillsoft Corp. *

    22,120       44,240  

Skillz, Inc. *

    86,751       51,461  

SkyWater Technology, Inc. *

    2,918       33,207  

SMART Global Holdings, Inc. *

    12,847       221,482  

SolarWinds Corp. *

    13,154       113,124  

Sprout Social, Inc. Class A *

    12,763       777,011  

SPS Commerce, Inc. *

    9,939       1,513,710  

Sumo Logic, Inc. *

    31,433       376,567  

Super Micro Computer, Inc. *

    12,739       1,357,340  

Synaptics, Inc. *

    10,758       1,195,752  

Telos Corp. *

    15,266       38,623  

Tenable Holdings, Inc. *

    30,486       1,448,390  

TTEC Holdings, Inc.

    5,268       196,128  

Ultra Clean Holdings, Inc. *

    12,071       400,274  

Unisys Corp. *

    18,871       73,219  

Upland Software, Inc. *

    8,046       34,598  

Varonis Systems, Inc. *

    29,106       757,047  

Veeco Instruments, Inc. *

    13,152       277,902  

Velo3D, Inc. *

    16,740       38,000  

Veradigm, Inc. *

    29,643       386,841  

Verint Systems, Inc. *

    17,944       668,235  

Veritone, Inc. *

    8,078       47,095  

Verra Mobility Corp. *

    38,212       646,547  

Viant Technology, Inc. Class A *

    3,169       13,785  

Vimeo, Inc. *

    40,522       155,199  

Vuzix Corp. *

    16,544       68,492  

Weave Communications, Inc. *

    8,134       40,426  

WM Technology, Inc. *

    20,230       17,179  

Workiva, Inc. *

    13,016       1,332,969  

Xerox Holdings Corp.

    31,584       486,394  

Yext, Inc. *

    29,752       285,917  
   

    
Shares

   

    
Value

 

Zeta Global Holdings Corp. Class A *

    30,186       $ 326,914  

Zuora, Inc. Class A *

    33,930       335,228  
   

 

 

 
    66,278,604  
   

 

 

 

Utilities - 3.3%

 

ALLETE, Inc.

    15,597       1,003,979  

Altus Power, Inc. *

    24,359       133,487  

Ameresco, Inc. Class A *

    8,514       419,059  

American States Water Co.

    10,072       895,300  

Artesian Resources Corp. Class A

    2,171       120,187  

Avista Corp.

    19,936       846,283  

Black Hills Corp.

    17,724       1,118,384  

Brookfield Infrastructure Corp. Class A (Canada)

    26,758       1,232,474  

California Water Service Group

    14,792       860,894  

Chesapeake Utilities Corp.

    4,725       604,753  

Clearway Energy, Inc. Class A

    9,933       298,288  

Clearway Energy, Inc. Class C

    22,029       690,169  

FTC Solar, Inc. *

    11,755       26,449  

Global Water Resources, Inc.

    4,109       51,075  

MGE Energy, Inc.

    9,930       771,263  

Middlesex Water Co.

    4,661       364,117  

New Jersey Resources Corp.

    26,392       1,404,054  

Northwest Natural Holding Co.

    9,197       437,409  

NorthWestern Corp.

    15,865       917,949  

ONE Gas, Inc.

    14,639       1,159,848  

Ormat Technologies, Inc.

    14,302       1,212,381  

Otter Tail Corp.

    11,200       809,424  

PNM Resources, Inc.

    23,313       1,134,877  

Portland General Electric Co.

    24,453       1,195,507  

SJW Group

    7,247       551,714  

Southwest Gas Holdings, Inc. *

    18,229       1,138,401  

Spire, Inc.

    13,911       975,718  

Unitil Corp.

    4,486       255,881  

Via Renewables, Inc. *

    781       14,355  

York Water Co.

    3,936       175,939  
   

 

 

 
    20,819,618  
   

 

 

 

Total Common Stocks
(Cost $587,060,049)

      629,408,228  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 0.8%

 

Repurchase Agreement - 0.8%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of
$5,209,499; collateralized by U.S.
Treasury Notes: 2.875% due 06/15/25
and value $5,311,748)

    $5,207,568       5,207,568  
   

 

 

 

Total Short-Term Investment
(Cost $5,207,568)

      5,207,568  
   

 

 

 

TOTAL INVESTMENTS - 99.7%
(Cost $592,268,060)

      634,625,843  
   

 

 

 

DERIVATIVES - 0.1%

      173,156  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.2%

 

    1,543,618  
   

 

 

 

NET ASSETS - 100.0%

      $636,342,617  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

140

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $10,025 or less than 0.1% of the Fund’s net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees.

 

(b)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
   Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

Russell 2000 E-Mini Index

   06/23      72        $6,355,444        $6,528,600        $173,156  
              

 

 

 

 

(c)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

           
 

Basic Materials

     $22        $22        $-        $-  
 

Consumer, Non-Cyclical

     10,025        -        -        10,025  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Rights

     10,047        22        -        10,025  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Common Stocks

           
 

Basic Materials

     23,507,318        23,507,318        -        -  
 

Communications

     25,599,652        25,599,652        -        -  
 

Consumer, Cyclical

     77,675,527        77,675,527        -        -  
 

Consumer, Non-Cyclical

     147,999,580        147,848,618        150,962        -  
 

Energy

     40,599,677        40,599,677        -        -  
 

Financial

     133,702,805        133,702,805        -        -  
 

Industrial

     93,225,447        93,225,447        -        -  
 

Technology

     66,278,604        66,278,604        -        -  
 

Utilities

     20,819,618        20,819,618        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     629,408,228        629,257,266        150,962        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investment

     5,207,568        -        5,207,568        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     173,156        173,156        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $634,798,999        $629,430,444        $5,358,530        $10,025  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

141

PACIFIC SELECT FUND

SMALL-CAP VALUE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 98.6%

 

Basic Materials - 4.2%

 

AdvanSix, Inc.

    97,980       $3,749,695  

ATI, Inc. *

    95,799       3,780,228  

Haynes International, Inc.

    74,304       3,721,887  

HB Fuller Co.

    47,062       3,221,394  

Innospec, Inc.

    2,452       251,747  
   

 

 

 
    14,724,951  
   

 

 

 

Communications - 2.7%

 

A10 Networks, Inc.

    251,872       3,901,497  

Casa Systems, Inc. *

    562,061       713,818  

Criteo SA ADR * (France)

    152,943       4,818,469  
   

 

 

 
    9,433,784  
   

 

 

 

Consumer, Cyclical - 20.1%

 

Alaska Air Group, Inc. *

    88,270       3,703,809  

Blue Bird Corp. *

    198,926       4,064,058  

Citi Trends, Inc. *

    111,879       2,127,939  

Dana, Inc.

    222,618       3,350,401  

Dine Brands Global, Inc.

    57,115       3,863,259  

Genesco, Inc. *

    82,040       3,025,635  

Goodyear Tire & Rubber Co. *

    355,884       3,921,842  

H&E Equipment Services, Inc.

    67,232       2,973,671  

Hilton Grand Vacations, Inc. *

    104,826       4,657,419  

IMAX Corp. *

    197,410       3,786,324  

KB Home

    146,191       5,873,954  

Papa John’s International, Inc.

    45,791       3,431,120  

REV Group, Inc.

    378,693       4,540,529  

Sally Beauty Holdings, Inc. *

    378,830       5,902,171  

Shyft Group, Inc.

    199,073       4,528,911  

Six Flags Entertainment Corp. *

    165,570       4,422,375  

Taylor Morrison Home Corp. *

    165,781       6,342,781  
   

 

 

 
    70,516,198  
   

 

 

 

Consumer, Non-Cyclical - 12.7%

 

Acadia Healthcare Co., Inc. *

    52,069       3,761,985  

Adtalem Global Education, Inc. *

    117,926       4,554,302  

Envista Holdings Corp. *

    106,470       4,352,494  

Hain Celestial Group, Inc. *

    292,635       5,018,690  

Herc Holdings, Inc.

    41,320       4,706,348  

Integra LifeSciences Holdings Corp. *

    99,605       5,718,323  

Korn Ferry

    91,110       4,714,031  

Nomad Foods Ltd. * (United Kingdom)

    290,635       5,446,500  

Pediatrix Medical Group, Inc. *

    287,005       4,279,245  

Syneos Health, Inc. *

    59,130       2,106,211  
   

 

 

 
    44,658,129  
   

 

 

 

Energy - 3.6%

 

ChampionX Corp.

    113,180       3,070,573  

Helmerich & Payne, Inc.

    5,789       206,957  

HF Sinclair Corp.

    72,450       3,505,131  

Magnolia Oil & Gas Corp. Class A

    267,213       5,846,621  
   

 

 

 
    12,629,282  
   

 

 

 

Financial - 29.1%

 

1st Source Corp.

    78,710       3,396,337  

Associated Banc-Corp.

    250,916       4,511,470  

Bank of Marin Bancorp

    79,718       1,745,027  

BankUnited, Inc.

    121,745       2,749,002  

Berkshire Hills Bancorp, Inc.

    180,790       4,530,598  

Broadstone Net Lease, Inc. REIT

    239,304       4,070,561  

Carter Bankshares, Inc. *

    168,008       2,352,112  

First BanCorp

    426,508       4,870,721  
   

    

Shares

   

Value

 

First Busey Corp.

    112,470       $ 2,287,640  

Hanover Insurance Group, Inc.

    31,857       4,093,625  

HarborOne Bancorp, Inc.

    303,187       3,698,881  

Heritage Financial Corp.

    196,776       4,211,007  

Independence Realty Trust, Inc. REIT

    183,512       2,941,697  

Independent Bank Group, Inc.

    57,524       2,666,237  

Moelis & Co. Class A

    101,480       3,900,891  

National Storage Affiliates Trust REIT

    75,213       3,142,399  

NETSTREIT Corp. REIT

    202,890       3,708,829  

Nicolet Bankshares, Inc. *

    17,200       1,084,460  

Pacific Premier Bancorp, Inc.

    152,122       3,653,971  

Peoples Bancorp, Inc.

    75,783       1,951,412  

Physicians Realty Trust REIT

    268,980       4,015,871  

Premier Financial Corp.

    171,871       3,562,886  

Sandy Spring Bancorp, Inc.

    89,548       2,326,457  

Selective Insurance Group, Inc.

    63,201       6,024,951  

STAG Industrial, Inc. REIT

    171,505       5,800,299  

Synovus Financial Corp.

    66,233       2,041,963  

Texas Capital Bancshares, Inc. *

    90,807       4,445,911  

TriCo Bancshares

    102,429       4,260,022  

WSFS Financial Corp.

    105,077       3,951,946  
   

 

 

 
    101,997,183  
   

 

 

 

Industrial - 18.3%

 

ArcBest Corp.

    61,980       5,728,192  

Arcosa, Inc.

    83,451       5,266,593  

Belden, Inc.

    42,221       3,663,516  

Cactus, Inc. Class A

    53,427       2,202,795  

Dycom Industries, Inc. *

    64,093       6,002,309  

Fluor Corp. *

    148,309       4,584,231  

Great Lakes Dredge & Dock Corp. *

    443,919       2,410,480  

Heritage-Crystal Clean, Inc. *

    120,719       4,298,804  

Hillman Solutions Corp. *

    413,937       3,485,350  

Ichor Holdings Ltd. *

    164,360       5,381,146  

Masonite International Corp. *

    49,409       4,484,855  

O-I Glass, Inc. *

    167,248       3,798,202  

Spirit AeroSystems Holdings, Inc. Class A

    128,080       4,422,602  

Star Bulk Carriers Corp. (Greece)

    219,960       4,645,555  

TTM Technologies, Inc. *

    298,303       4,024,108  
   

 

 

 
    64,398,738  
   

 

 

 

Technology - 5.5%

 

ACI Worldwide, Inc. *

    147,630       3,983,057  

CommVault Systems, Inc. *

    47,178       2,676,880  

FormFactor, Inc. *

    98,659       3,142,289  

Kulicke & Soffa Industries, Inc. (Singapore)

    91,104       4,800,270  

Magnachip Semiconductor Corp. * (South Korea)

    361,552       3,355,202  

Unisys Corp. *

    391,192       1,517,825  
   

 

 

 
    19,475,523  
   

 

 

 

Utilities - 2.4%

 

IDACORP, Inc.

    52,480       5,685,158  

Southwest Gas Holdings, Inc. *

    43,020       2,686,599  
   

 

 

 
    8,371,757  
   

 

 

 

Total Common Stocks
(Cost $397,971,127)

      346,205,545  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

142

PACIFIC SELECT FUND

SMALL-CAP VALUE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 1.4%

 

Repurchase Agreement - 1.4%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $4,923,487; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $5,020,160)

    $4,921,662       $4,921,662  
   

 

 

 

Total Short-Term Investment
(Cost $4,921,662)

      4,921,662  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $402,892,789)

      351,127,207  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (96,622
   

 

 

 

NET ASSETS - 100.0%

      $351,030,585  
   

 

 

 

Note to Schedule of Investments

            

 

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $346,205,545        $346,205,545        $-        $-  
 

Short-Term Investment

     4,921,662        -        4,921,662        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $351,127,207        $346,205,545        $4,921,662        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

143

PACIFIC SELECT FUND

VALUE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

PREFERRED STOCKS - 1.0%

 

Consumer, Non-Cyclical - 1.0%

 

Henkel AG & Co. KGaA

    130,507       $10,210,075  
   

 

 

 

Total Preferred Stocks
(Cost $9,805,072)

      10,210,075  
   

 

 

 

COMMON STOCKS - 95.5%

 

Basic Materials - 1.0%

 

Akzo Nobel NV (Netherlands)

    126,256       9,875,063  
   

 

 

 

Communications - 8.2%

 

Alphabet, Inc. Class A *

    66,655       6,914,123  

Cisco Systems, Inc.

    357,310       18,678,380  

F5, Inc. *

    88,970       12,962,039  

Juniper Networks, Inc.

    200,620       6,905,341  

Verizon Communications, Inc.

    592,009       23,023,230  

Walt Disney Co. *

    134,963       13,513,845  
   

 

 

 
    81,996,958  
   

 

 

 

Consumer, Cyclical - 5.6%

 

Advance Auto Parts, Inc.

    43,683       5,312,290  

Dollar Tree, Inc. *

    112,429       16,139,183  

General Motors Co.

    168,319       6,173,941  

Sodexo SA (France)

    70,573       6,892,904  

Southwest Airlines Co.

    300,062       9,764,017  

Walmart, Inc.

    80,243       11,831,830  
   

 

 

 
    56,114,165  
   

 

 

 

Consumer, Non-Cyclical - 35.0%

 

Automatic Data Processing, Inc.

    46,988       10,460,938  

Becton Dickinson & Co.

    43,465       10,759,326  

Cigna Group

    25,102       6,414,314  

Colgate-Palmolive Co.

    249,570       18,755,186  

Conagra Brands, Inc.

    456,085       17,130,553  

CVS Health Corp.

    98,665       7,331,796  

Henry Schein, Inc. *

    182,468       14,878,441  

Johnson & Johnson

    305,755       47,392,025  

Kimberly-Clark Corp.

    156,911       21,060,594  

Koninklijke Ahold Delhaize NV (Netherlands)

    371,083       12,678,091  

Medtronic PLC

    482,474       38,897,054  

Merck & Co., Inc.

    71,575       7,614,864  

Mondelez International, Inc. Class A

    228,462       15,928,371  

PepsiCo, Inc.

    38,826       7,077,980  

Pfizer, Inc.

    217,951       8,892,401  

Procter & Gamble Co.

    69,189       10,287,712  

Quest Diagnostics, Inc.

    110,840       15,681,643  

Roche Holding AG

    34,420       9,835,255  

Unilever PLC ADR (United Kingdom)

    365,011       18,955,021  

Universal Health Services, Inc. Class B

    106,941       13,592,201  

Zimmer Biomet Holdings, Inc.

    265,895       34,353,634  
   

 

 

 
    347,977,400  
   

 

 

 

Energy - 7.8%

 

Baker Hughes Co.

    365,860       10,558,719  

Chevron Corp.

    64,185       10,472,425  

ConocoPhillips

    92,304       9,157,480  

Exxon Mobil Corp.

    270,400       29,652,064  

TotalEnergies SE ADR (France)

    303,259       17,907,444  
   

 

 

 
    77,748,132  
   

 

 

 

Financial - 18.9%

 

Allstate Corp.

    170,146       18,853,878  
   

Shares

   

Value

 

Ameriprise Financial, Inc.

    30,714       $ 9,413,841  

Bank of New York Mellon Corp.

    430,035       19,540,791  

Berkshire Hathaway, Inc. Class B *

    123,904       38,257,838  

BlackRock, Inc.

    17,382       11,630,644  

Charles Schwab Corp.

    141,355       7,404,175  

Chubb Ltd.

    35,480       6,889,506  

Healthpeak Properties, Inc. REIT

    177,963       3,909,847  

JPMorgan Chase & Co.

    204,014       26,585,064  

MetLife, Inc.

    92,820       5,377,991  

Northern Trust Corp.

    91,321       8,048,120  

Truist Financial Corp.

    469,383       16,005,960  

US Bancorp

    459,430       16,562,452  
   

 

 

 
    188,480,107  
   

 

 

 

Industrial - 11.5%

 

Emerson Electric Co.

    115,272       10,044,802  

Norfolk Southern Corp.

    41,143       8,722,316  

nVent Electric PLC

    261,155       11,213,996  

Oshkosh Corp.

    157,333       13,086,959  

Packaging Corp. of America

    101,586       14,103,184  

Raytheon Technologies Corp.

    290,285       28,427,610  

Siemens AG (Germany)

    47,347       7,670,399  

Sonoco Products Co.

    174,040       10,616,440  

TE Connectivity Ltd.

    78,414       10,283,996  
   

 

 

 
    114,169,702  
   

 

 

 

Technology - 1.3%

 

Applied Materials, Inc.

    32,277       3,964,584  

Texas Instruments, Inc.

    49,122       9,137,183  
   

 

 

 
    13,101,767  
   

 

 

 

Utilities - 6.2%

 

Duke Energy Corp.

    164,845       15,902,597  

Edison International

    152,165       10,741,327  

Eversource Energy

    103,327       8,086,371  

Pinnacle West Capital Corp.

    130,135       10,311,898  

Xcel Energy, Inc.

    246,096       16,596,714  
   

 

 

 
    61,638,907  
   

 

 

 

Total Common Stocks
(Cost $949,119,614)

      951,102,201  
   

 

 

 

EXCHANGE-TRADED FUND - 1.5%

 

iShares Russell 1000 Value

    98,001       14,921,632  
   

 

 

 

Total Exchange-Traded Fund
(Cost $15,041,301)

      14,921,632  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

144

PACIFIC SELECT FUND

VALUE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 1.9%

 

 

Repurchase Agreement - 1.9%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $18,702,145; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $19,069,199)

    $18,695,213       $18,695,213  
   

 

 

 
         

Value

 

Total Short-Term Investment
(Cost $18,695,213)

      18,695,213  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $992,661,200)

      994,929,121  
   

 

 

 

DERIVATIVES - (0.1%)

      (581,669
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.2%

 

    1,682,283  
   

 

 

 

NET ASSETS - 100.0%

      $996,029,735  
   

 

 

 

 

            

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

145

PACIFIC SELECT FUND

VALUE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Forward foreign currency contracts outstanding as of March 31, 2023 were as follows:

 

Currency
Purchased
          Currency
Sold
          Settlement
Month
         Counterparty          Unrealized
Appreciation
     Unrealized
Depreciation
 
USD      7,916,384        CHF      7,181,370          06/23         MSC         $-        ($6,064
USD      490,479        CHF      444,467          06/23         MSC         145        -  
USD      55,005,561        EUR      50,916,932          06/23         JPM         -        (483,981
USD      16,137,247        GBP      13,133,701          06/23         BOA         -        (91,769
                       

 

 

    

 

 

 

Total Forward Foreign Currency Contracts

 

          $145        ($581,814
                       

 

 

    

 

 

 

 

(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Preferred Stocks

     $10,210,075        $-        $10,210,075        $-  
 

Common Stocks

           
 

Basic Materials

     9,875,063        -        9,875,063        -  
 

Communications

     81,996,958        81,996,958        -        -  
 

Consumer, Cyclical

     56,114,165        49,221,261        6,892,904        -  
 

Consumer, Non-Cyclical

     347,977,400        325,464,054        22,513,346        -  
 

Energy

     77,748,132        77,748,132        -        -  
 

Financial

     188,480,107        188,480,107        -        -  
 

Industrial

     114,169,702        106,499,303        7,670,399        -  
 

Technology

     13,101,767        13,101,767        -        -  
 

Utilities

     61,638,907        61,638,907        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     951,102,201        904,150,489        46,951,712        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Fund

     14,921,632        14,921,632        -        -  
 

Short-Term Investment

     18,695,213        -        18,695,213        -  
 

Derivatives:

           
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     145        -        145        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     994,929,266        919,072,121        75,857,145        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     (581,814      -        (581,814      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (581,814      -        (581,814      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $994,347,452        $919,072,121        $75,275,331        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

146

PACIFIC SELECT FUND

VALUE ADVANTAGE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 97.9%

 

Basic Materials - 0.5%

 

Axalta Coating Systems Ltd. *

    135,858       $4,115,139  
   

 

 

 

Communications - 7.3%

 

Alphabet, Inc. Class C *

    46,189       4,803,656  

Booking Holdings, Inc. *

    2,624       6,959,924  

Cisco Systems, Inc.

    82,408       4,307,878  

CommScope Holding Co., Inc. *

    166,487       1,060,522  

IAC, Inc. *

    90,692       4,679,707  

Liberty Broadband Corp. Class C *

    68,415       5,589,506  

Liberty Media Corp. - Liberty SiriusXM
Class C *

    169,869       4,754,633  

Meta Platforms, Inc. Class A *

    49,248       10,437,621  

Nexstar Media Group, Inc.

    14,794       2,554,332  

T-Mobile US, Inc. *

    24,128       3,494,700  

Verizon Communications, Inc.

    248,342       9,658,020  
   

 

 

 
    58,300,499  
   

 

 

 

Consumer, Cyclical - 7.2%

 

AutoZone, Inc. *

    3,950       9,709,692  

Bath & Body Works, Inc.

    106,608       3,899,721  

Best Buy Co., Inc.

    42,073       3,293,054  

Columbia Sportswear Co.

    22,244       2,007,298  

Dick’s Sporting Goods, Inc.

    34,278       4,863,705  

Dollar General Corp.

    13,073       2,751,344  

Home Depot, Inc.

    15,584       4,599,150  

Lowe’s Cos., Inc.

    33,662       6,731,390  

Murphy USA, Inc.

    13,972       3,605,475  

Newell Brands, Inc.

    313,225       3,896,519  

Ralph Lauren Corp.

    46,452       5,419,555  

Target Corp.

    21,036       3,484,193  

Texas Roadhouse, Inc.

    31,424       3,395,677  
   

 

 

 
    57,656,773  
   

 

 

 

Consumer, Non-Cyclical - 20.5%

 

AbbVie, Inc.

    108,755       17,332,284  

Albertsons Cos., Inc. Class A

    195,166       4,055,550  

AmerisourceBergen Corp.

    69,091       11,062,160  

BellRing Brands, Inc. *

    90,309       3,070,506  

Bristol-Myers Squibb Co.

    238,042       16,498,691  

Cigna Group

    16,563       4,232,343  

CVS Health Corp.

    81,518       6,057,603  

Elanco Animal Health, Inc. *

    217,716       2,046,530  

FleetCor Technologies, Inc. *

    28,118       5,928,680  

HCA Healthcare, Inc.

    29,546       7,790,689  

Johnson & Johnson

    76,348       11,833,940  

Keurig Dr Pepper, Inc.

    134,169       4,733,482  

Kraft Heinz Co.

    194,267       7,512,305  

Laboratory Corp. of America Holdings

    27,101       6,217,512  

Medtronic PLC

    46,241       3,727,949  

Merck & Co., Inc.

    51,771       5,507,917  

Philip Morris International, Inc.

    66,205       6,438,436  

Post Holdings, Inc. *

    71,104       6,390,117  

Procter & Gamble Co.

    60,808       9,041,542  

Regeneron Pharmaceuticals, Inc. *

    8,672       7,125,522  

Sysco Corp.

    45,551       3,517,904  

UnitedHealth Group, Inc.

    11,058       5,225,900  

Vertex Pharmaceuticals, Inc. *

    15,730       4,956,051  

Zimmer Biomet Holdings, Inc.

    32,179       4,157,527  
   

 

 

 
    164,461,140  
   

 

 

 

Energy - 7.8%

 

Chevron Corp.

    113,624       18,538,892  

ConocoPhillips

    134,964       13,389,778  

Coterra Energy, Inc.

    138,145       3,390,078  
   

Shares

   

Value

 

EOG Resources, Inc.

    44,928       $ 5,150,097  

Kinder Morgan, Inc.

    458,926       8,035,794  

Phillips 66

    68,983       6,993,497  

Williams Cos., Inc.

    235,407       7,029,253  
   

 

 

 
    62,527,389  
   

 

 

 

Financial - 33.3%

 

American Express Co.

    36,246       5,978,778  

American Homes 4 Rent Class A REIT

    187,414       5,894,170  

Apple Hospitality REIT, Inc.

    206,226       3,200,628  

Bank of America Corp.

    644,329       18,427,809  

Berkshire Hathaway, Inc. Class B *

    67,159       20,736,684  

Brixmor Property Group, Inc. REIT

    253,748       5,460,657  

Capital One Financial Corp.

    160,658       15,448,873  

CBRE Group, Inc. Class A *

    85,819       6,248,481  

Charles Schwab Corp.

    103,517       5,422,221  

Chubb Ltd.

    33,828       6,568,721  

Citigroup, Inc.

    87,400       4,098,186  

Citizens Financial Group, Inc.

    242,789       7,373,502  

CNA Financial Corp.

    64,417       2,514,196  

Cullen/Frost Bankers, Inc.

    12,630       1,330,444  

EastGroup Properties, Inc. REIT

    14,078       2,327,375  

Fairfax Financial Holdings Ltd. (Canada)

    9,288       6,177,643  

Federal Realty Investment Trust REIT

    48,285       4,772,007  

First Citizens BancShares, Inc. Class A

    3,881       3,776,601  

Hartford Financial Services Group, Inc.

    63,277       4,409,774  

JBG SMITH Properties REIT

    132,399       1,993,929  

Kimco Realty Corp. REIT

    394,989       7,714,135  

Lamar Advertising Co. Class A REIT

    48,946       4,889,216  

Loews Corp.

    231,506       13,431,978  

M&T Bank Corp.

    110,301       13,188,691  

MGIC Investment Corp.

    246,963       3,314,244  

Mid-America Apartment Communities, Inc. REIT

    43,050       6,502,272  

Morgan Stanley

    51,545       4,525,651  

Northern Trust Corp.

    54,817       4,831,022  

PNC Financial Services Group, Inc.

    79,647       10,123,134  

Progressive Corp.

    57,939       8,288,753  

Public Storage REIT

    22,785       6,884,260  

Rayonier, Inc. REIT

    164,882       5,483,975  

T Rowe Price Group, Inc.

    34,347       3,877,776  

Travelers Cos., Inc.

    46,784       8,019,245  

Truist Financial Corp.

    98,764       3,367,852  

US Bancorp

    126,912       4,575,178  

Wells Fargo & Co.

    388,176       14,510,019  

Welltower, Inc. REIT

    38,271       2,743,648  

Weyerhaeuser Co. REIT

    302,268       9,107,335  
   

 

 

 
    267,539,063  
   

 

 

 

Industrial - 13.8%

 

Carlisle Cos., Inc.

    19,936       4,506,932  

Dover Corp.

    61,372       9,324,862  

Eaton Corp. PLC

    31,755       5,440,902  

Energizer Holdings, Inc.

    107,861       3,742,777  

FedEx Corp.

    30,186       6,897,199  

Fortune Brands Innovations, Inc.

    83,684       4,914,761  

General Dynamics Corp.

    28,183       6,431,642  

Honeywell International, Inc.

    31,021       5,928,734  

ITT, Inc.

    30,380       2,621,794  

Martin Marietta Materials, Inc.

    24,848       8,822,531  

Middleby Corp. *

    27,077       3,969,759  

Mohawk Industries, Inc. *

    49,874       4,998,372  

Norfolk Southern Corp.

    9,388       1,990,256  

Northrop Grumman Corp.

    9,134       4,217,351  

Packaging Corp. of America

    57,136       7,932,191  

Raytheon Technologies Corp.

    94,597       9,263,884  

TD SYNNEX Corp.

    43,556       4,215,785  

Timken Co.

    46,834       3,827,274  

Union Pacific Corp.

    30,561       6,150,707  

Vulcan Materials Co.

    14,583       2,501,859  

Westrock Co.

    104,079       3,171,287  
   

 

 

 
    110,870,859  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

147

PACIFIC SELECT FUND

VALUE ADVANTAGE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

    

Value

 

Technology - 3.4%

 

Analog Devices, Inc.

    21,418        $4,224,058  

International Business Machines Corp.

    33,724        4,420,879  

Leidos Holdings, Inc.

    42,795        3,939,708  

NXP Semiconductors NV (China)

    32,773        6,111,345  

Texas Instruments, Inc.

    47,703        8,873,235  
    

 

 

 
     27,569,225  
    

 

 

 

Utilities - 4.1%

 

American Electric Power Co., Inc.

    39,106        3,558,255  

Edison International

    64,535        4,555,526  

Entergy Corp.

    34,527        3,719,939  

NextEra Energy, Inc.

    68,483        5,278,670  

PG&E Corp. *

    348,369        5,633,127  

Public Service Enterprise Group, Inc.

    61,360        3,831,932  

Xcel Energy, Inc.

    95,658        6,451,175  
    

 

 

 
     33,028,624  
    

 

 

 

Total Common Stocks
(Cost $646,648,641)

       786,068,711  
    

 

 

 
   

Principal
Amount

        

SHORT-TERM INVESTMENT - 2.3%

 

Repurchase Agreement - 2.3%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $18,176,717; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $18,533,403)

    $18,169,979        18,169,979  
    

 

 

 

Total Short-Term Investment
(Cost $18,169,979)

       18,169,979  
    

 

 

 

TOTAL INVESTMENTS - 100.2%
(Cost $664,818,620)

       804,238,690  
    

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.2%)

 

     (1,595,754
    

 

 

 

NET ASSETS - 100.0%

       $802,642,936  
    

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $786,068,711        $786,068,711        $-        $-  
 

Short-Term Investment

     18,169,979        -        18,169,979        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $804,238,690        $786,068,711        $18,169,979        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

148

PACIFIC SELECT FUND

EMERGING MARKETS PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

WARRANTS - 0.1%

 

Switzerland - 0.1%

 

Cie Financiere Richemont SA Exercise @ CHF 67.00 Exp 11/22/23 *

    535,142       $672,619  
   

 

 

 

Total Warrants
(Cost $0)

      672,619  
   

 

 

 

PREFERRED STOCKS - 0.4%

 

Brazil - 0.4%

 

Banco Bradesco SA

    1,176,572       3,057,237  
   

 

 

 

Total Preferred Stocks
(Cost $4,484,217)

      3,057,237  
   

 

 

 

COMMON STOCKS - 95.6%

 

Australia - 0.8%

 

Glencore PLC *

    1,076,371       6,193,670  
   

 

 

 

Brazil - 4.8%

 

Ambev SA

    5,557,221       15,711,899  

B3 SA - Brasil Bolsa Balcao

    1,475,000       3,012,016  

Lojas Renner SA

    464,584       1,518,838  

NU Holdings Ltd. Class A *

    1,673,209       7,964,475  

Vale SA ADR

    467,852       7,382,705  

WEG SA

    449,975       3,600,013  
   

 

 

 
    39,189,946  
   

 

 

 

Chile - 0.6%

 

Antofagasta PLC

    49,765       974,770  

Banco Santander Chile

    91,135,141       4,041,457  
   

 

 

 
    5,016,227  
   

 

 

 

China - 27.7%

 

BeiGene Ltd. ADR *

    37,573       8,098,109  

Brii Biosciences Ltd. *

    41,500       22,867  

H World Group Ltd. *

    65,200       319,151  

H World Group Ltd. ADR *

    814,364       39,887,549  

Meituan Class B * ~

    369,072       6,695,783  

MicroTech Medical Hangzhou Co. Ltd.
Class H * ~

    252,100       239,689  

NetEase, Inc. ADR

    304,571       26,936,259  

New Horizon Health Ltd. * ~

    431,000       1,493,591  

Silergy Corp.

    202,000       3,207,069  

Tencent Holdings Ltd.

    581,925       28,438,264  

Wuxi Biologics Cayman, Inc. * ~

    1,137,000       7,006,146  

Yum China Holdings, Inc.

    946,082       59,972,138  

Zai Lab Ltd. ADR *

    138,330       4,600,856  

ZTO Express Cayman, Inc.

    82,977       2,375,860  

ZTO Express Cayman, Inc. ADR

    1,234,424       35,378,592  
   

 

 

 
    224,671,923  
   

 

 

 

France - 6.3%

 

L’Oreal SA

    3,789       1,693,087  

Pernod Ricard SA

    182,816       41,395,185  

TotalEnergies SE

    134,029       7,902,842  
   

 

 

 
    50,991,114  
   

 

 

 

Hong Kong - 1.5%

 

AIA Group Ltd.

    917,018       9,617,093  

Hongkong Land Holdings Ltd.

    559,900       2,463,260  
   

 

 

 
    12,080,353  
   

 

 

 
   

Shares

   

Value

 

India - 18.5%

 

Havells India Ltd.

    206,749       $2,997,728  

Housing Development Finance Corp. Ltd.

    1,773,515       56,873,162  

Infosys Ltd.

    194,719       3,404,298  

Kotak Mahindra Bank Ltd.

    1,867,402       39,471,012  

Oberoi Realty Ltd.

    554,004       5,697,542  

Tata Consultancy Services Ltd.

    977,233       38,305,404  

Zee Entertainment Enterprises Ltd.

    1,303,408       3,371,840  
   

 

 

 
    150,120,986  
   

 

 

 

Indonesia - 0.7%

 

P.T. Bank Central Asia Tbk

    10,342,900       6,051,053  
   

 

 

 

Italy - 2.3%

 

Ermenegildo Zegna NV

    168,679       2,300,781  

PRADA SpA

    2,256,600       16,001,693  
   

 

 

 
    18,302,474  
   

 

 

 

Japan - 0.5%

 

Daiichi Sankyo Co. Ltd.

    121,000       4,413,794  
   

 

 

 

Mexico - 10.6%

 

America Movil SAB de CV ADR *

    716,509       15,082,514  

Fomento Economico Mexicano SAB de CV

    1,213,309       11,567,508  

Grupo Mexico SAB de CV

    8,768,199       41,520,001  

Wal-Mart de Mexico SAB de CV

    4,523,886       18,082,992  
   

 

 

 
    86,253,015  
   

 

 

 

Peru - 0.9%

 

Credicorp Ltd.

    53,642       7,101,664  
   

 

 

 

Philippines - 1.3%

 

SM Investments Corp.

    645,339       10,592,773  
   

 

 

 

Russia - 0.0%

 

Novatek PJSC GDR (LI) * ~ W ±

    258,603        

Polyus PJSC GDR * ~ W ±

    41,905        

Sberbank of Russia PJSC * W ±

    156,504        

TCS Group Holding PLC GDR * ~ W ±

    86,992        

Yandex NV Class A * W ±

    722,151       1  
   

 

 

 
    1  
   

 

 

 

South Africa - 0.6%

 

FirstRand Ltd.

    1,357,611       4,601,485  
   

 

 

 

South Korea - 7.1%

 

LG Chem Ltd.

    48,202       26,472,227  

LG H&H Co. Ltd.

    4,911       2,268,874  

Samsung Biologics Co. Ltd. * ~

    23,363       14,161,812  

Samsung Electronics Co. Ltd.

    298,802       14,776,045  
   

 

 

 
    57,678,958  
   

 

 

 

Switzerland - 3.5%

 

Cie Financiere Richemont SA Class A

    176,932       28,372,117  
   

 

 

 

Taiwan - 7.6%

 

MediaTek, Inc. *

    166,000       4,303,735  

Taiwan Semiconductor Manufacturing Co. Ltd.

    3,247,376       56,908,985  
   

 

 

 
    61,212,720  
   

 

 

 

United Kingdom - 0.3%

 

AstraZeneca PLC ADR

    34,449       2,391,105  
   

 

 

 

Total Common Stocks
(Cost $760,908,345)

      775,235,378  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

149

PACIFIC SELECT FUND

EMERGING MARKETS PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 3.6%

 

Repurchase Agreement - 3.6%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $28,978,487; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $29,547,144)

    $28,967,745       $28,967,745  
   

 

 

 

Total Short-Term Investment
(Cost $28,967,745)

      28,967,745  
   

 

 

 

TOTAL INVESTMENTS - 99.7%
(Cost $794,360,307)

      807,932,979  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.3%

      2,818,477  
   

 

 

 

NET ASSETS - 100.0%

      $810,751,456  
   

 

 

 

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

150

PACIFIC SELECT FUND

EMERGING MARKETS PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $1 or less than 0.1% of the Fund’s net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees.

 

(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Warrants

     $672,619        $672,619        $-        $-  
 

Preferred Stocks

     3,057,237        3,057,237        -        -  
 

Common Stocks

           
 

Australia

     6,193,670        -        6,193,670        -  
 

Brazil

     39,189,946        39,189,946        -        -  
 

Chile

     5,016,227        4,041,457        974,770        -  
 

China

     224,671,923        174,873,503        49,798,420        -  
 

France

     50,991,114        -        50,991,114        -  
 

Hong Kong

     12,080,353        -        12,080,353        -  
 

India

     150,120,986        -        150,120,986        -  
 

Indonesia

     6,051,053        -        6,051,053        -  
 

Italy

     18,302,474        2,300,781        16,001,693        -  
 

Japan

     4,413,794        -        4,413,794        -  
 

Mexico

     86,253,015        86,253,015        -        -  
 

Peru

     7,101,664        7,101,664        -        -  
 

Philippines

     10,592,773        -        10,592,773        -  
 

Russia

     1        -        -        1  
 

South Africa

     4,601,485        -        4,601,485        -  
 

South Korea

     57,678,958        -        57,678,958        -  
 

Switzerland

     28,372,117        -        28,372,117        -  
 

Taiwan

     61,212,720        -        61,212,720        -  
 

United Kingdom

     2,391,105        2,391,105        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     775,235,378        316,151,471        459,083,906        1  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investment

     28,967,745        -        28,967,745        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $807,932,979        $319,881,327        $488,051,651        $1  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

151

PACIFIC SELECT FUND

INTERNATIONAL GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 99.3%

   

Australia - 1.1%

   

Brambles Ltd.

    781,908       $7,049,875  
   

 

 

 

Canada - 8.1%

   

CAE, Inc. *

    251,597       5,689,089  

Canadian Pacific Railway Ltd.

    209,767       16,152,757  

Loblaw Cos. Ltd.

    89,654       8,170,687  

Shopify, Inc. Class A *

    32,759       1,570,467  

Suncor Energy, Inc.

    303,604       9,425,989  

Thomson Reuters Corp.

    80,781       10,510,197  
   

 

 

 
      51,519,186  
   

 

 

 

China - 2.0%

   

Tencent Holdings Ltd.

    195,938       9,575,352  

Zai Lab Ltd. *

    399,800       1,332,366  

Zai Lab Ltd. ADR *

    58,155       1,934,235  
   

 

 

 
      12,841,953  
   

 

 

 

Denmark - 4.4%

   

Novo Nordisk AS Class B

    176,234       27,989,705  
   

 

 

 

France - 12.9%

   

Airbus SE

    71,642       9,569,040  

BNP Paribas SA

    99,763       5,957,600  

EssilorLuxottica SA

    36,179       6,523,897  

Kering SA

    9,900       6,459,033  

L’Oreal SA

    25,882       11,565,181  

LVMH Moet Hennessy Louis Vuitton SE

    25,279       23,203,804  

Safran SA

    65,482       9,693,732  

Teleperformance

    39,616       9,572,577  
   

 

 

 
      82,544,864  
   

 

 

 

Germany - 6.4%

   

Deutsche Boerse AG

    52,150       10,154,128  

Deutsche Telekom AG

    744,746       18,046,904  

SAP SE

    100,915       12,742,584  
   

 

 

 
      40,943,616  
   

 

 

 

Hong Kong - 4.0%

   

AIA Group Ltd.

    1,343,521       14,089,982  

Hong Kong Exchanges & Clearing Ltd.

    258,553       11,460,283  
   

 

 

 
      25,550,265  
   

 

 

 

Ireland - 1.0%

   

CRH PLC

    127,454       6,439,011  
   

 

 

 

Israel - 1.1%

   

Nice Ltd. ADR *

    31,956       7,314,409  
   

 

 

 

Italy - 1.0%

   

Intesa Sanpaolo SpA

    2,602,274       6,678,582  
   

 

 

 

Japan - 13.0%

   

Daiichi Sankyo Co. Ltd.

    371,015       13,533,750  

Hoya Corp.

    57,870       6,395,343  

Keyence Corp.

    34,245       16,783,760  

Olympus Corp.

    712,121       12,506,802  

Recruit Holdings Co. Ltd.

    269,964       7,426,447  

Shiseido Co. Ltd.

    206,724       9,691,891  

Sony Group Corp.

    181,422       16,524,530  
   

 

 

 
    82,862,523  
   

 

 

 
   

Shares

   

Value

 

Netherlands - 4.1%

 

Adyen NV * ~

    5,069       $8,077,086  

Argenx SE *

    13,959       5,183,750  

ASML Holding NV

    19,085       13,005,434  
   

 

 

 
    26,266,270  
   

 

 

 

Portugal - 2.4%

 

EDP - Energias de Portugal SA

    2,873,323       15,656,489  
   

 

 

 

Spain - 6.0%

 

Amadeus IT Group SA *

    163,726       10,983,315  

Cellnex Telecom SA ~

    134,671       5,237,036  

Iberdrola SA

    673,957       8,396,020  

Industria de Diseno Textil SA

    410,076       13,776,582  
   

 

 

 
    38,392,953  
   

 

 

 

Sweden - 2.6%

 

Atlas Copco AB Class A

    511,777       6,483,368  

Sandvik AB

    487,436       10,346,213  
   

 

 

 
    16,829,581  
   

 

 

 

Switzerland - 3.8%

 

Alcon, Inc.

    160,040       11,360,837  

Givaudan SA

    1,970       6,411,931  

Straumann Holding AG

    44,468       6,669,513  
   

 

 

 
    24,442,281  
   

 

 

 

United Kingdom - 11.5%

 

3i Group PLC

    303,072       6,317,074  

Compass Group PLC

    340,156       8,548,644  

Diageo PLC

    357,924       15,974,014  

London Stock Exchange Group PLC

    202,248       19,644,281  

RELX PLC

    308,970       10,006,579  

Rentokil Initial PLC

    1,762,558       12,881,726  
   

 

 

 
    73,372,318  
   

 

 

 

United States - 13.9%

 

Accenture PLC Class A

    33,061       9,449,164  

Computershare Ltd.

    286,269       4,158,113  

Haleon PLC

    2,414,277       9,590,550  

ICON PLC *

    20,554       4,390,129  

Linde PLC

    36,807       13,082,680  

Nestle SA

    234,217       28,558,197  

Roche Holding AG

    30,704       8,773,437  

SolarEdge Technologies, Inc. *

    18,769       5,704,838  

TE Connectivity Ltd.

    35,830       4,699,105  
   

 

 

 
    88,406,213  
   

 

 

 

Total Common Stocks
(Cost $652,979,177)

      635,100,094  
   

 

 

 

TOTAL INVESTMENTS - 99.3%
(Cost $652,979,177)

      635,100,094  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.7%

 

    4,417,564  
   

 

 

 

NET ASSETS - 100.0%

      $639,517,658  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

152

PACIFIC SELECT FUND

INTERNATIONAL GROWTH PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Australia

     $7,049,875        $-        $7,049,875        $-  
 

Canada

     51,519,186        51,519,186        -        -  
 

China

     12,841,953        1,934,235        10,907,718        -  
 

Denmark

     27,989,705        -        27,989,705        -  
 

France

     82,544,864        -        82,544,864        -  
 

Germany

     40,943,616        -        40,943,616        -  
 

Hong Kong

     25,550,265        -        25,550,265        -  
 

Ireland

     6,439,011        -        6,439,011        -  
 

Israel

     7,314,409        7,314,409        -        -  
 

Italy

     6,678,582        -        6,678,582        -  
 

Japan

     82,862,523        -        82,862,523        -  
 

Netherlands

     26,266,270        -        26,266,270        -  
 

Portugal

     15,656,489        -        15,656,489        -  
 

Spain

     38,392,953        -        38,392,953        -  
 

Sweden

     16,829,581        -        16,829,581        -  
 

Switzerland

     24,442,281        -        24,442,281        -  
 

United Kingdom

     73,372,318        -        73,372,318        -  
 

United States

     88,406,213        37,325,916        51,080,297        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     635,100,094        98,093,746        537,006,348        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     635,100,094        98,093,746        537,006,348        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
             

Liabilities

 

Due to Custodian

     (119,120      -        (119,120      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (119,120      -        (119,120      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $634,980,974        $98,093,746        $536,887,228        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

153

PACIFIC SELECT FUND

INTERNATIONAL LARGE-CAP PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.6%

 

Australia - 0.9%

 

Rio Tinto PLC

    140,367       $9,527,816  
   

 

 

 

Belgium - 0.7%

 

KBC Group NV

    100,265       6,889,285  
   

 

 

 

Canada - 3.7%

 

Canadian National Railway Co.

    121,825       14,371,695  

Intact Financial Corp.

    50,990       7,297,437  

Suncor Energy, Inc.

    199,896       6,206,168  

Toronto-Dominion Bank

    188,389       11,283,825  
   

 

 

 
    39,159,125  
   

 

 

 

China - 2.6%

 

Meituan Class B * ~

    24,092       437,082  

NetEase, Inc.

    422,300       7,454,806  

Tencent Holdings Ltd.

    219,023       10,703,500  

Yum China Holdings, Inc.

    133,564       8,466,622  
   

 

 

 
    27,062,010  
   

 

 

 

Denmark - 3.4%

 

Carlsberg AS Class B

    61,857       9,598,158  

Novo Nordisk AS Class B

    167,711       26,636,072  
   

 

 

 
    36,234,230  
   

 

 

 

France - 16.2%

 

Air Liquide SA

    177,864       29,772,403  

Capgemini SE

    115,564       21,475,879  

Cie de Saint-Gobain

    191,535       10,887,532  

Cie Generale des Etablissements Michelin SCA

    232,378       7,103,393  

Dassault Systemes SE

    143,040       5,900,547  

Engie SA

    909,152       14,387,047  

EssilorLuxottica SA

    90,213       16,267,458  

L’Oreal SA

    20,112       8,986,899  

Legrand SA

    101,166       9,243,772  

LVMH Moet Hennessy Louis Vuitton SE

    31,238       28,673,620  

Pernod Ricard SA

    83,433       18,891,807  
   

 

 

 
    171,590,357  
   

 

 

 

Germany - 9.9%

 

Bayer AG

    265,896       16,985,863  

Beiersdorf AG

    151,457       19,702,635  

Deutsche Boerse AG

    111,728       21,754,563  

Merck KGaA

    98,348       18,335,489  

MTU Aero Engines AG

    27,751       6,944,403  

SAP SE

    168,737       21,306,499  
   

 

 

 
    105,029,452  
   

 

 

 

Hong Kong - 2.9%

 

AIA Group Ltd.

    2,105,407       22,080,151  

Prudential PLC

    654,719       8,964,168  
   

 

 

 
    31,044,319  
   

 

 

 

India - 2.0%

 

HDFC Bank Ltd.

    272,279       5,355,411  

Housing Development Finance Corp. Ltd.

    243,762       7,816,971  

Tata Consultancy Services Ltd.

    203,251       7,966,996  
   

 

 

 
    21,139,378  
   

 

 

 
   

Shares

   

Value

 

Ireland - 1.1%

 

Ryanair Holdings PLC ADR  *

    121,074       $11,416,067  
   

 

 

 

Israel - 1.3%

 

Check Point Software Technologies Ltd. *

    103,868       13,502,840  
   

 

 

 

Italy - 2.3%

 

Eni SpA

    781,423       10,898,009  

Intesa Sanpaolo SpA

    5,418,070       13,905,156  
   

 

 

 
    24,803,165  
   

 

 

 

Japan - 13.9%

 

Daikin Industries Ltd.

    89,900       16,128,648  

Denso Corp.

    204,800       11,560,427  

Hitachi Ltd.

    394,400       21,676,494  

Hoya Corp.

    106,400       11,758,502  

Koito Manufacturing Co. Ltd.

    344,000       6,520,947  

Kose Corp.

    77,800       9,247,171  

Kubota Corp.

    306,000       4,639,366  

Kyocera Corp.

    215,100       11,220,892  

Olympus Corp.

    618,900       10,869,585  

Shin-Etsu Chemical Co. Ltd.

    193,500       6,281,208  

SMC Corp.

    21,700       11,503,524  

Sony Group Corp.

    173,500       15,802,967  

Terumo Corp.

    344,000       9,303,586  
   

 

 

 
    146,513,317  
   

 

 

 

Netherlands - 3.1%

 

Akzo Nobel NV

    163,271       12,770,176  

ING Groep NV

    1,111,466       13,199,031  

Randstad NV

    114,267       6,783,425  
   

 

 

 
    32,752,632  
   

 

 

 

Portugal - 0.6%

 

Galp Energia SGPS SA

    564,043       6,382,299  
   

 

 

 

Singapore - 1.2%

 

DBS Group Holdings Ltd.

    513,414       12,764,363  
   

 

 

 

South Korea - 0.5%

 

Samsung Electronics Co. Ltd.

    106,489       5,265,983  
   

 

 

 

Spain - 1.0%

 

Amadeus IT Group SA *

    160,128       10,741,949  
   

 

 

 

Switzerland - 8.9%

 

Cie Financiere Richemont SA Class A

    140,505       22,530,827  

Julius Baer Group Ltd.

    129,403       8,839,315  

Novartis AG

    169,059       15,522,747  

Sika AG

    29,399       8,246,285  

Sonova Holding AG

    24,627       7,264,683  

UBS Group AG (XVTX)

    766,553       16,220,866  

Zurich Insurance Group AG

    32,200       15,430,195  
   

 

 

 
    94,054,918  
   

 

 

 

Taiwan - 1.2%

 

Taiwan Semiconductor Manufacturing Co. Ltd. ADR

    137,057       12,749,042  
   

 

 

 

United Kingdom - 8.8%

 

Compass Group PLC

    867,097       21,791,482  

Diageo PLC

    342,719       15,295,420  

London Stock Exchange Group PLC

    129,670       12,594,804  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

154

PACIFIC SELECT FUND

INTERNATIONAL LARGE-CAP PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Reckitt Benckiser Group PLC

    119,994       $9,128,840  

RELX PLC

    543,132       17,590,366  

Rolls-Royce Holdings PLC *

    3,917,372       7,215,256  

Tesco PLC

    2,862,215       9,383,570  
   

 

 

 
    92,999,738  
   

 

 

 

United States - 12.4%

 

Experian PLC

    464,179       15,284,348  

Linde PLC

    42,791       15,040,455  

Nestle SA

    296,603       36,164,953  

QIAGEN NV *

    200,057       9,111,891  

Roche Holding AG

    89,382       25,540,233  

Schneider Electric SE

    177,553       29,673,327  
   

 

 

 
    130,815,207  
   

 

 

 

Total Common Stocks
(Cost $844,926,849)

      1,042,437,492  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 0.4%

 

Repurchase Agreement - 0.4%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $4,753,590; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $4,846,923)

    $4,751,828       4,751,828  
   

 

 

 

Total Short-Term Investment
(Cost $4,751,828)

      4,751,828  
   

 

 

 

TOTAL INVESTMENTS - 99.0%
(Cost $849,678,677)

      1,047,189,320  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 1.0%

 

    10,739,119  
   

 

 

 

NET ASSETS - 100.0%

      $1,057,928,439  
   

 

 

 

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

155

PACIFIC SELECT FUND

INTERNATIONAL LARGE-CAP PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Australia

     $9,527,816        $-        $9,527,816        $-  
 

Belgium

     6,889,285        -        6,889,285        -  
 

Canada

     39,159,125        39,159,125        -        -  
 

China

     27,062,010        8,466,622        18,595,388        -  
 

Denmark

     36,234,230        -        36,234,230        -  
 

France

     171,590,357        -        171,590,357        -  
 

Germany

     105,029,452        -        105,029,452        -  
 

Hong Kong

     31,044,319        -        31,044,319        -  
 

India

     21,139,378        -        21,139,378        -  
 

Ireland

     11,416,067        11,416,067        -        -  
 

Israel

     13,502,840        13,502,840        -        -  
 

Italy

     24,803,165        -        24,803,165        -  
 

Japan

     146,513,317        -        146,513,317        -  
 

Netherlands

     32,752,632        -        32,752,632        -  
 

Portugal

     6,382,299        -        6,382,299        -  
 

Singapore

     12,764,363        -        12,764,363        -  
 

South Korea

     5,265,983        -        5,265,983        -  
 

Spain

     10,741,949        -        10,741,949        -  
 

Switzerland

     94,054,918        -        94,054,918        -  
 

Taiwan

     12,749,042        12,749,042        -        -  
 

United Kingdom

     92,999,738        -        92,999,738        -  
 

United States

     130,815,207        15,040,455        115,774,752        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     1,042,437,492        100,334,151        942,103,341        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investment

     4,751,828        -        4,751,828        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,047,189,320        $100,334,151        $946,855,169        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

156

PACIFIC SELECT FUND

INTERNATIONAL SMALL-CAP PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 96.0%

 

Australia - 4.0%

 

EBOS Group Ltd.

    53,660       $1,563,653  

GUD Holdings Ltd.

    288,233       1,904,137  

Imdex Ltd.

      1,441,433       2,175,001  

Inghams Group Ltd.

    1,352,914       2,833,335  

Nanosonics Ltd. *

    392,909       1,351,983  

Servcorp Ltd.

    200,736       425,357  

SomnoMed Ltd. *

    381,225       246,199  
   

 

 

 
    10,499,665  
   

 

 

 

Austria - 1.9%

 

Mayr Melnhof Karton AG

    16,200       2,692,589  

Strabag SE

    20,400       872,784  

Wienerberger AG

    53,000       1,534,406  
   

 

 

 
    5,099,779  
   

 

 

 

Belgium - 1.5%

 

Econocom Group SA NV

    424,100       1,361,968  

Fagron

    150,400       2,569,409  
   

 

 

 
    3,931,377  
   

 

 

 

Brazil - 1.3%

 

Atacadao SA

    244,900       598,666  

Hypera SA

    238,242       1,772,085  

LOG Commercial Properties e Participacoes SA

    345,995       1,079,261  
   

 

 

 
    3,450,012  
   

 

 

 

Canada - 2.6%

 

CCL Industries, Inc. Class B

    42,100       2,091,450  

ECN Capital Corp.

    190,900       395,501  

North West Co., Inc.

    54,800       1,532,292  

Open Text Corp.

    52,700       2,032,742  

Parkland Corp.

    32,700       783,929  
   

 

 

 
    6,835,914  
   

 

 

 

Cayman - 0.2%

 

Patria Investments Ltd. Class A

    32,700       483,960  
   

 

 

 

China - 3.8%

 

Best Pacific International Holdings Ltd.

    2,831,726       407,629  

Far East Horizon Ltd.

    2,534,657       2,276,104  

Precision Tsugami China Corp. Ltd.

    1,088,972       1,104,246  

Qingdao Port International Co. Ltd. Class H ~

    3,365,372       1,756,400  

Shenzhen YUTO Packaging Technology Co. Ltd. Class A

    462,216       1,874,581  

TravelSky Technology Ltd. Class H

    1,159,128       2,159,869  

Xingda International Holdings Ltd.

    2,861,865       608,293  
   

 

 

 
    10,187,122  
   

 

 

 

Denmark - 0.6%

 

Spar Nord Bank AS

    98,815       1,560,782  
   

 

 

 

Finland - 1.5%

 

Huhtamaki OYJ

    54,700       2,032,088  

Nanoform Finland PLC *

    105,200       181,402  

Rovio Entertainment OYJ ~

    224,800       1,904,162  
   

 

 

 
    4,117,652  
   

 

 

 

France - 3.8%

 

Altarea SCA REIT

    12,100       1,488,855  

Antin Infrastructure Partners SA

    40,300       730,517  
   

Shares

   

Value

 

ARGAN SA REIT

    16,000       $ 1,195,897  

Elior Group SA * ~

    366,400       1,288,767  

Lectra

    35,700       1,409,432  

Maisons du Monde SA ~

    120,400       1,299,347  

Thermador Groupe

    24,200       2,575,681  
   

 

 

 
    9,988,496  
   

 

 

 

Germany - 4.6%

 

DWS Group GmbH & Co. KGaA ~

    32,700       1,006,669  

JOST Werke AG ~

    36,200       1,908,776  

Norma Group SE

    49,073       1,159,678  

Rheinmetall AG

    8,470       2,509,238  

Stabilus SE

    23,400       1,635,903  

Takkt AG

    106,000       1,673,051  

Talanx AG *

    48,500       2,248,052  
   

 

 

 
    12,141,367  
   

 

 

 

Greece - 0.9%

 

Mytilineos SA

    87,000       2,480,221  
   

 

 

 

Hong Kong - 1.7%

 

ASMPT Ltd.

    230,756       2,288,634  

Sino Land Co. Ltd.

    1,212,776       1,640,062  

WH Group Ltd. ~

    1,143,000       681,395  
   

 

 

 
    4,610,091  
   

 

 

 

Hungary - 0.9%

 

Richter Gedeon Nyrt

    114,686       2,394,550  
   

 

 

 

Indonesia - 0.8%

 

P.T. Avia Avian Tbk

    20,298,483       805,468  

P.T. Selamat Sempurna Tbk

    12,644,400       1,302,851  
   

 

 

 
    2,108,319  
   

 

 

 

Ireland - 2.1%

 

AerCap Holdings NV *

    23,787       1,337,543  

Dalata Hotel Group PLC *

    324,400       1,470,900  

Irish Residential Properties REIT PLC REIT *

    1,483,600       1,495,162  

Mincon Group PLC

    1,059,000       1,182,940  
   

 

 

 
    5,486,545  
   

 

 

 

Italy - 1.1%

 

Banca Generali SpA

    39,800       1,267,045  

Recordati Industria Chimica e Farmaceutica SpA

    38,400       1,624,295  
   

 

 

 
    2,891,340  
   

 

 

 

Japan - 22.6%

 

Amano Corp.

    88,400       1,670,189  

ASKUL Corp.

    127,600       1,661,226  

Capcom Co. Ltd.

    41,300       1,478,151  

Daiichikosho Co. Ltd.

    62,000       1,024,687  

Daikyonishikawa Corp.

    245,015       1,195,799  

Daiwa Industries Ltd.

    100,200       1,049,249  

Dexerials Corp.

    61,800       1,263,496  

Dip Corp.

    47,300       1,267,873  

GMO internet group, Inc.

    101,000       1,968,590  

Inaba Denki Sangyo Co. Ltd.

    73,000       1,595,729  

Isuzu Motors Ltd.

    132,700       1,585,896  

JAFCO Group Co. Ltd.

    81,500       1,167,363  

Kamigumi Co. Ltd.

    80,300       1,686,966  

Lixil Corp.

    88,900       1,467,370  

Maruwa Co. Ltd.

    12,900       1,798,677  

Meitec Corp.

    89,600       1,604,247  

Minebea Mitsumi, Inc.

    95,800       1,829,445  

Mitani Corp.

    92,400       939,062  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

157

PACIFIC SELECT FUND

INTERNATIONAL SMALL-CAP PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Nihon Parkerizing Co. Ltd.

    211,000       $ 1,586,036  

Nishimoto Co. Ltd.

    47,219       1,326,125  

NOF Corp.

    35,300       1,649,577  

NSD Co. Ltd.

    107,100       1,931,873  

PALTAC Corp.

    56,000       2,127,821  

Park24 Co. Ltd. *

    68,900       1,007,869  

Persol Holdings Co. Ltd.

    63,800       1,284,608  

Renesas Electronics Corp. *

    252,500       3,656,403  

Roland Corp.

    62,200       1,878,174  

S Foods, Inc.

    106,500       2,293,071  

San-Ai Obbli Co. Ltd.

    204,100       2,118,657  

Ship Healthcare Holdings, Inc.

    133,500       2,459,412  

Sugi Holdings Co. Ltd.

    42,700       1,835,415  

SUMCO Corp.

    115,200       1,733,061  

TechnoPro Holdings, Inc.

    71,600       1,985,897  

TIS, Inc.

    63,400       1,676,652  

TKC Corp.

    32,000       888,728  

Tsuruha Holdings, Inc.

    33,300       2,227,231  
   

 

 

 
    59,920,625  
   

 

 

 

Mexico - 2.6%

 

Bolsa Mexicana de Valores SAB de CV

    1,057,459       2,265,732  

Gruma SAB de CV Class B

    158,366       2,336,294  

Grupo Comercial Chedraui SA de CV

    403,000       2,314,678  
   

 

 

 
    6,916,704  
   

 

 

 

Netherlands - 1.4%

 

Acomo NV

    89,500       2,149,940  

Arcadis NV

    37,400       1,531,308  
   

 

 

 
    3,681,248  
   

 

 

 

Norway - 1.1%

 

Europris ASA ~

    305,000       2,117,991  

SpareBank 1 SMN

    61,200       722,990  
   

 

 

 
    2,840,981  
   

 

 

 

Peru - 0.6%

 

Intercorp Financial Services, Inc.

    65,995       1,506,006  
   

 

 

 

Philippines - 1.6%

 

Century Pacific Food, Inc.

    5,231,555       2,487,551  

Robinsons Land Corp.

    6,718,549       1,820,072  
   

 

 

 
    4,307,623  
   

 

 

 

Singapore - 1.7%

 

Hour Glass Ltd.

    782,782       1,283,761  

HRnetgroup Ltd.

    2,314,635       1,417,896  

Mapletree Industrial Trust REIT

    1,083,469       1,934,435  
   

 

 

 
    4,636,092  
   

 

 

 

South Korea - 1.9%

 

Hyundai Marine & Fire Insurance Co. Ltd.

    45,124       1,171,556  

Soulbrain Co. Ltd.

    12,800       2,331,316  

Vitzrocell Co. Ltd.

    117,300       1,614,174  
   

 

 

 
    5,117,046  
   

 

 

 

Spain - 4.0%

 

Cia de Distribucion Integral Logista Holdings SA

    114,300       2,852,068  

CIE Automotive SA

    73,900       2,126,955  

Grupo Catalana Occidente SA

    72,100       2,271,861  

Indra Sistemas SA

    77,400       1,047,581  

Prosegur Cia de Seguridad SA

    621,200       1,232,142  

Viscofan SA

    13,900       995,455  
   

 

 

 
    10,526,062  
   

 

 

 
   

Shares

   

Value

 

Sweden - 1.6%

 

 

Granges AB

    185,200       $1,766,813  

Hexpol AB

    144,900       1,794,870  

Nordnet AB publ

    35,400       583,649  
   

 

 

 
    4,145,332  
   

 

 

 

Taiwan - 3.5%

 

International Games System Co. Ltd.

    168,350       3,175,382  

Sporton International, Inc.

    230,990       2,054,828  

Test Research, Inc.

    588,727       1,231,285  

Tripod Technology Corp.

    362,609       1,335,829  

Yageo Corp.

    89,964       1,568,262  
   

 

 

 
    9,365,586  
   

 

 

 

Tanzania - 0.3%

 

Helios Towers PLC *

    729,940       935,760  
   

 

 

 

Thailand - 0.7%

 

Star Petroleum Refining PCL

    5,580,077       1,764,932  
   

 

 

 

United Kingdom - 14.5%

 

Ashtead Technology Holdings PLC *

    504,200       1,890,822  

B&M European Value Retail SA

    405,633       2,416,670  

Bodycote PLC

    162,025       1,303,589  

DCC PLC

    12,200       711,153  

Grainger PLC

    685,520       1,970,381  

Harbour Energy PLC

    325,056       1,101,562  

Hiscox Ltd.

    161,500       2,209,779  

Informa PLC

    266,898       2,287,704  

J D Wetherspoon PLC *

    205,614       1,813,564  

JET2 PLC

    125,580       2,048,069  

John Wood Group PLC *

    937,468       2,321,098  

Lancashire Holdings Ltd.

    389,819       2,660,281  

LSL Property Services PLC

    346,404       1,162,321  

On the Beach Group PLC * ~

    863,249       1,534,001  

Pets at Home Group PLC

    268,100       1,220,386  

Premier Foods PLC

    1,043,600       1,563,693  

Rathbones Group PLC

    32,700       774,319  

Sabre Insurance Group PLC ~

    1,003,286       1,398,548  

Savills PLC

    131,685       1,606,893  

Tate & Lyle PLC

    283,696       2,747,580  

Vistry Group PLC

    135,439       1,310,534  

WH Smith PLC

    133,754       2,475,850  
   

 

 

 
    38,528,797  
   

 

 

 

United States - 4.6%

 

Adient PLC *

    38,900       1,593,344  

Adtalem Global Education, Inc. *

    46,400       1,791,968  

Antero Resources Corp. *

    67,741       1,564,140  

GCC SAB de CV

    329,010       2,608,162  

GrafTech International Ltd.

    187,291       910,234  

Impro Precision Industries Ltd. ~

    1,797,821       661,210  

Ovintiv, Inc.

    32,700       1,179,816  

RHI Magnesita NV

    70,500       1,953,128  
   

 

 

 
    12,262,002  
   

 

 

 

Total Common Stocks
(Cost $272,216,453)

      254,721,988  
   

 

 

 

EXCHANGE-TRADED FUND - 2.6%

 

 

iShares MSCI India *

    175,700       6,915,552  
   

 

 

 

Total Exchange-Traded Fund
(Cost $8,441,904)

      6,915,552  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

158

PACIFIC SELECT FUND

INTERNATIONAL SMALL-CAP PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 0.4%

 

 

Repurchase Agreement - 0.4%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $984,667; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $1,004,032)

    $984,302       $984,302  
   

 

 

 

Total Short-Term Investment
(Cost $984,302)

      984,302  
   

 

 

 

TOTAL INVESTMENTS - 99.0%
(Cost $281,642,659)

      262,621,842  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 1.0%

      2,690,710  
   

 

 

 

NET ASSETS - 100.0%

      $265,312,552  
   

 

 

 

Notes to Schedule of Investments

 

(a)

Restricted securities as of March 31, 2023 were as follows

 

Issuer and Acquisition Date   Cost     Value    

Value as a %

of Net Assets

 

Irish Residential Properties
REIT PLC
Acq 10/20/21

    $2,664,574       $1,495,162       0.6%  

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

159

PACIFIC SELECT FUND

INTERNATIONAL SMALL-CAP PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Australia

     $10,499,665        $425,357        $10,074,308        $-  
 

Austria

     5,099,779        872,784        4,226,995        -  
 

Belgium

     3,931,377        -        3,931,377        -  
 

Brazil

     3,450,012        3,450,012        -        -  
 

Canada

     6,835,914        6,835,914        -        -  
 

Cayman

     483,960        483,960        -        -  
 

China

     10,187,122        1,511,875        8,675,247        -  
 

Denmark

     1,560,782        -        1,560,782        -  
 

Finland

     4,117,652        181,402        3,936,250        -  
 

France

     9,988,496        -        9,988,496        -  
 

Germany

     12,141,367        -        12,141,367        -  
 

Greece

     2,480,221        -        2,480,221        -  
 

Hong Kong

     4,610,091        -        4,610,091        -  
 

Hungary

     2,394,550        -        2,394,550        -  
 

Indonesia

     2,108,319        2,108,319        -        -  
 

Ireland

     5,486,545        2,520,483        2,966,062        -  
 

Italy

     2,891,340        -        2,891,340        -  
 

Japan

     59,920,625        -        59,920,625        -  
 

Mexico

     6,916,704        6,916,704        -        -  
 

Netherlands

     3,681,248        2,149,940        1,531,308        -  
 

Norway

     2,840,981        -        2,840,981        -  
 

Peru

     1,506,006        1,506,006        -        -  
 

Philippines

     4,307,623        2,487,551        1,820,072        -  
 

Singapore

     4,636,092        -        4,636,092        -  
 

South Korea

     5,117,046        -        5,117,046        -  
 

Spain

     10,526,062        -        10,526,062        -  
 

Sweden

     4,145,332        -        4,145,332        -  
 

Taiwan

     9,365,586        -        9,365,586        -  
 

Tanzania, United Republic Of

     935,760        -        935,760        -  
 

Thailand

     1,764,932        -        1,764,932        -  
 

United Kingdom

     38,528,797        9,456,022        29,072,775        -  
 

United States

     12,262,002        9,647,664        2,614,338        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     254,721,988        50,553,993        204,167,995        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Fund

     6,915,552        6,915,552        -        -  
 

Short-Term Investment

     984,302        -        984,302        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $262,621,842        $57,469,545        $205,152,297        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

160

PACIFIC SELECT FUND

INTERNATIONAL VALUE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

PREFERRED STOCKS - 0.8%

 

Germany - 0.8%

 

Henkel AG & Co. KGaA

    86,240       $6,746,894  
   

 

 

 

Total Preferred Stocks
(Cost $6,309,874)

      6,746,894  
   

 

 

 

COMMON STOCKS - 95.6%

 

Austria - 1.9%

 

ams-OSRAM AG *

    406,241       3,165,714  

Erste Group Bank AG

    238,204       7,891,542  

Mondi PLC

    309,098       4,907,550  
   

 

 

 
    15,964,806  
   

 

 

 

Belgium - 1.1%

 

Ageas SA

    135,427       5,858,341  

Proximus SADP

    391,312       3,784,086  
   

 

 

 
    9,642,427  
   

 

 

 

Brazil - 3.0%

 

Atacadao SA

    1,424,555       3,482,374  

Banco Bradesco SA ADR

    2,986,581       7,824,842  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    395,302       3,947,209  

Telefonica Brasil SA

    812,813       6,199,795  

Ultrapar Participacoes SA

    1,404,026       3,867,100  
   

 

 

 
    25,321,320  
   

 

 

 

Burkina Faso - 0.5%

 

Endeavour Mining PLC

    159,636       3,847,092  
   

 

 

 

Canada - 1.9%

 

ARC Resources Ltd.

    256,383       2,908,140  

Barrick Gold Corp. (TSE)

    445,204       8,265,016  

Cameco Corp. (NYSE)

    134,737       3,526,067  

Kinross Gold Corp.

    287,562       1,354,417  
   

 

 

 
    16,053,640  
   

 

 

 

China - 0.6%

 

Baidu, Inc. Class A *

    63,387       1,194,292  

Dongfeng Motor Group Co. Ltd. Class H

    7,668,787       3,602,504  
   

 

 

 
    4,796,796  
   

 

 

 

Finland - 1.6%

 

Nokia OYJ (OMXH)

    1,673,309       8,214,081  

Wartsila OYJ Abp

    596,149       5,626,017  
   

 

 

 
    13,840,098  
   

 

 

 

France - 11.7%

 

AXA SA

    462,447       14,112,759  

BNP Paribas SA

    172,890       10,324,563  

Carrefour SA

    413,769       8,365,411  

Cie de Saint-Gobain

    178,583       10,151,294  

Dassault Aviation SA

    13,846       2,739,155  

Engie SA

    866,625       13,714,071  

Orange SA

    763,906       9,075,336  

Renault SA *

    151,225       6,163,350  

Societe Generale SA

    317,871       7,162,061  

TotalEnergies SE

    307,687       18,142,355  
   

 

 

 
    99,950,355  
   

 

 

 
   

Shares

   

Value

 

Germany - 5.3%

 

 

CECONOMY AG *

    426,893       $1,163,841  

Continental AG

    69,420       5,201,599  

Daimler Truck Holding AG *

    304,438       10,274,482  

Evonik Industries AG

    231,226       4,864,793  

Fresenius SE & Co. KGaA

    288,466       7,789,515  

HeidelbergCement AG

    148,101       10,813,911  

Mercedes-Benz Group AG

    70,307       5,406,802  
   

 

 

 
    45,514,943  
   

 

 

 

Hong Kong - 1.4%

 

CK Asset Holdings Ltd.

    1,124,740       6,818,926  

WH Group Ltd. ~

    9,307,761       5,548,790  
   

 

 

 
    12,367,716  
   

 

 

 

India - 0.8%

 

Canara Bank

    1,188,307       4,130,916  

Oil & Natural Gas Corp. Ltd.

    1,331,260       2,453,417  
   

 

 

 
    6,584,333  
   

 

 

 

Indonesia - 0.6%

 

P.T. Bank Mandiri Persero Tbk

    7,745,281       5,333,760  
   

 

 

 

Ireland - 1.4%

 

AIB Group PLC

    1,299,630       5,260,306  

Bank of Ireland Group PLC

    628,527       6,359,623  
   

 

 

 
    11,619,929  
   

 

 

 

Italy - 5.1%

 

Assicurazioni Generali SpA

    399,748       7,964,817  

BPER Banca

    1,887,413       4,643,839  

Eni SpA

    971,591       13,550,162  

UniCredit SpA

    921,041       17,359,648  
   

 

 

 
    43,518,466  
   

 

 

 

Japan - 23.9%

 

Alfresa Holdings Corp.

    222,390       2,849,426  

Alps Alpine Co. Ltd.

    278,176       2,677,045  

Amada Co. Ltd.

    399,170       3,741,597  

Benesse Holdings, Inc.

    16,683       244,468  

Dai-ichi Life Holdings, Inc.

    409,765       7,532,905  

DeNA Co. Ltd. *

    211,441       2,889,501  

Eisai Co. Ltd.

    43,814       2,488,617  

Fuji Media Holdings, Inc.

    140,232       1,266,620  

Hakuhodo DY Holdings, Inc.

    260,740       2,956,122  

Hino Motors Ltd. *

    795,588       3,331,533  

Honda Motor Co. Ltd.

    470,340       12,441,041  

Inpex Corp.

    517,816       5,479,799  

Isuzu Motors Ltd.

    536,221       6,408,370  

Japan Airlines Co. Ltd.

    227,997       4,445,508  

JGC Holdings Corp.

    301,520       3,747,312  

Kirin Holdings Co. Ltd.

    489,067       7,737,417  

Makita Corp.

    266,608       6,639,833  

Mitsubishi Estate Co. Ltd.

    502,457       5,976,557  

Mitsubishi UFJ Financial Group, Inc.

    1,801,533       11,545,427  

MS&AD Insurance Group Holdings, Inc.

    259,055       8,028,337  

Nikon Corp.

    435,804       4,474,056  

Nippon Television Holdings, Inc.

    262,457       2,262,883  

Nissan Motor Co. Ltd.

    1,929,878       7,303,792  

Nomura Holdings, Inc.

    613,845       2,366,567  

Ono Pharmaceutical Co. Ltd.

    295,680       6,161,432  

Resona Holdings, Inc.

    1,409,845       6,801,289  

Stanley Electric Co. Ltd.

    231,786       5,152,703  

Subaru Corp.

    363,618       5,804,656  

Sumitomo Electric Industries Ltd.

    571,413       7,340,897  

Sumitomo Heavy Industries Ltd.

    172,581       4,232,082  

Sumitomo Mitsui Trust Holdings, Inc.

    258,397       8,877,475  

Sumitomo Rubber Industries Ltd.

    333,447       3,016,849  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

161

PACIFIC SELECT FUND

INTERNATIONAL VALUE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

T&D Holdings, Inc.

    841,066       $ 10,424,065  

Taiheiyo Cement Corp.

    170,621       3,206,565  

Takeda Pharmaceutical Co. Ltd.

    232,278       7,628,832  

THK Co. Ltd.

    229,919       5,329,430  

Tsuruha Holdings, Inc.

    62,306       4,167,262  

Yamato Holdings Co. Ltd.

    427,987       7,346,516  
   

 

 

 
    204,324,786  
   

 

 

 

Luxembourg - 0.5%

 

RTL Group SA *

    82,194       4,049,165  
   

 

 

 

Malaysia - 0.5%

 

CIMB Group Holdings Bhd

    3,333,361       4,017,181  
   

 

 

 

Mexico - 0.4%

 

Fresnillo PLC

    358,638       3,311,678  
   

 

 

 

Netherlands - 6.3%

 

ABN AMRO Bank NV CVA ~

    617,837       9,797,319  

ING Groep NV

    738,687       8,772,155  

Koninklijke Philips NV

    495,067       9,092,835  

Shell PLC

    909,660       25,924,009  
   

 

 

 
    53,586,318  
   

 

 

 

Norway - 0.1%

 

Norsk Hydro ASA

    163,102       1,217,299  
   

 

 

 

Russia - 0.1%

 

Gazprom PJSC * W ±

    340,336       -  

Gazprom PJSC ADR (OTC) * W ±

    384       -  

Gazprom PJSC ADR (SEAQ) * W ±

    142,682       -  

LUKOIL PJSC ADR (OTC) * W ±

    24,064       -  

Mobile TeleSystems PJSC ADR * W ±

    327,186       1  

Sberbank of Russia PJSC * W ±

    927,996       -  

VEON Ltd. *

    60,476       1,065,587  
   

 

 

 
    1,065,588  
   

 

 

 

South Africa - 1.2%

 

Anglo American PLC

    195,714       6,509,739  

MTN Group Ltd.

    143,758       1,029,947  

Old Mutual Ltd.

    4,421,721       2,931,101  
   

 

 

 
    10,470,787  
   

 

 

 

South Korea - 4.5%

 

Coway Co. Ltd.

    90,847       3,666,549  

Hankook Tire & Technology Co. Ltd.

    126,134       3,373,836  

Hyundai Mobis Co. Ltd.

    40,522       6,730,284  

KB Financial Group, Inc.

    250,272       9,140,481  

KT Corp. ADR *

    577,202       6,545,471  

Shinhan Financial Group Co. Ltd.

    315,618       8,573,862  
   

 

 

 
    38,030,483  
   

 

 

 

Spain - 0.4%

 

CaixaBank SA (SIBE)

    809,780       3,159,722  
   

 

 

 

Sweden - 1.9%

 

SKF AB Class B

    488,561       9,623,136  

Telefonaktiebolaget LM Ericsson Class B

    1,129,055       6,618,320  
   

 

 

 
    16,241,456  
   

 

 

 

Switzerland - 5.9%

 

Adecco Group AG

    225,273       8,205,577  

Novartis AG

    192,770       17,699,856  

The Swatch Group AG

    24,713       8,510,925  

UBS Group AG (XVTX)

    768,696       16,266,214  
   

 

 

 
    50,682,572  
   

 

 

 
   

Shares

   

Value

 

Taiwan - 1.1%

 

 

Catcher Technology Co. Ltd.

    730,362       $4,565,708  

Hon Hai Precision Industry Co. Ltd.

    1,403,587       4,804,471  
   

 

 

 
    9,370,179  
   

 

 

 

Thailand - 0.8%

 

Kasikornbank PCL

    1,667,962       6,471,803  

Kasikornbank PCL NVDR

    123,832       480,364  
   

 

 

 
    6,952,167  
   

 

 

 

United Kingdom - 8.4%

 

Babcock International Group PLC *

    797,372       2,945,636  

BP PLC

    2,787,751       17,620,032  

British Land Co. PLC REIT

    672,484       3,225,681  

BT Group PLC

    3,241,638       5,839,248  

easyJet PLC *

    1,126,664       7,200,503  

J Sainsbury PLC

    1,393,881       4,796,600  

Kingfisher PLC

    1,011,418       3,269,413  

Land Securities Group PLC REIT

    461,910       3,545,873  

Marks & Spencer Group PLC *

    609,123       1,256,610  

Standard Chartered PLC

    1,515,108       11,483,098  

WPP PLC

    900,177       10,694,920  
   

 

 

 
    71,877,614  
   

 

 

 

United States - 2.7%

 

GSK PLC

    798,101       14,101,896  

Holcim AG *

    139,324       8,985,186  
   

 

 

 
    23,087,082  
   

 

 

 

Total Common Stocks
(Cost $754,959,107)

      815,799,758  
   

 

 

 

EXCHANGE-TRADED FUND - 0.6%

 

iShares Core MSCI EAFE

    76,589       5,119,975  
   

 

 

 

Total Exchange-Traded Fund
(Cost $5,010,531)

      5,119,975  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

162

PACIFIC SELECT FUND

INTERNATIONAL VALUE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

SHORT-TERM INVESTMENT - 1.5%

 

 

Repurchase Agreement - 1.5%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $12,767,066; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $13,017,613)

    $12,762,333       $12,762,333  
   

 

 

 

Total Short-Term Investment
(Cost $12,762,333)

      12,762,333  
   

 

 

 

TOTAL INVESTMENTS - 98.5%
(Cost $779,041,845)

      840,428,960  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 1.5%

      13,047,360  
   

 

 

 

NET ASSETS - 100.0%

      $853,476,320  
   

 

 

 

    

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $1 or less than 0.1% of the Fund’s net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees.

 

(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Preferred Stocks

     $6,746,894        $-        $6,746,894        $-  
 

Common Stocks

           
 

Austria

     15,964,806        -        15,964,806        -  
 

Belgium

     9,642,427        -        9,642,427        -  
 

Brazil

     25,321,320        25,321,320        -        -  
 

Burkina Faso

     3,847,092        3,847,092        -        -  
 

Canada

     16,053,640        16,053,640        -        -  
 

China

     4,796,796        -        4,796,796        -  
 

Finland

     13,840,098        -        13,840,098        -  
 

France

     99,950,355        -        99,950,355        -  
 

Germany

     45,514,943        -        45,514,943        -  
 

Hong Kong

     12,367,716        -        12,367,716        -  
 

India

     6,584,333        -        6,584,333        -  
 

Indonesia

     5,333,760        -        5,333,760        -  
 

Ireland

     11,619,929        -        11,619,929        -  
 

Italy

     43,518,466        -        43,518,466        -  
 

Japan

     204,324,786        -        204,324,786        -  
 

Luxembourg

     4,049,165        -        4,049,165        -  
 

Malaysia

     4,017,181        -        4,017,181        -  
 

Mexico

     3,311,678        -        3,311,678        -  
 

Netherlands

     53,586,318        -        53,586,318        -  
 

Norway

     1,217,299        -        1,217,299        -  
 

Russia

     1,065,588        1,065,587        -        1  
 

South Africa

     10,470,787        -        10,470,787        -  
 

South Korea

     38,030,483        6,545,471        31,485,012        -  
 

Spain

     3,159,722        -        3,159,722        -  
 

Sweden

     16,241,456        -        16,241,456        -  
 

Switzerland

     50,682,572        -        50,682,572        -  
 

Taiwan

     9,370,179        -        9,370,179        -  
 

Thailand

     6,952,167        -        6,952,167        -  
 

United Kingdom

     71,877,614        -        71,877,614        -  
 

United States

     23,087,082        -        23,087,082        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     815,799,758        52,833,110        762,966,647        1  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Fund

     5,119,975        5,119,975        -        -  
 

Short-Term Investment

     12,762,333        -        12,762,333        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $840,428,960        $57,953,085        $782,475,874        $1  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

163

PACIFIC SELECT FUND

HEALTH SCIENCES PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

RIGHTS - 0.0%

 

Technology - 0.0%

 

Contra Abiomed, Inc. - Contingent Value Rights * W ±

    11,083       $30,922  
   

 

 

 

Total Rights
(Cost $11,305)

      30,922  
   

 

 

 

WARRANTS - 0.0%

 

Consumer, Non-Cyclical - 0.0%

 

CareMax, Inc. Exercise @ $ 11.50 Exp 07/16/25 *

    3,646       1,853  

Nuvation Bio, Inc. Exercise @ $ 11.50 Exp 07/07/27 *

    3,472       417  
   

 

 

 
    2,270  
   

 

 

 

Total Warrants
(Cost $16,587)

      2,270  
   

 

 

 

COMMON STOCKS - 97.5%

 

Consumer, Non-Cyclical - 96.6%

 

10X Genomics, Inc. Class A *

    6,807       379,763  

Abbott Laboratories

    89,694       9,082,414  

AbbVie, Inc.

    77,490       12,349,581  

Agiliti, Inc. *

    29,088       464,826  

Alcon, Inc. (Switzerland)

    62,454       4,405,505  

Align Technology, Inc. *

    2,805       937,263  

Alkermes PLC *

    22,807       642,929  

Alnylam Pharmaceuticals, Inc. *

    11,422       2,288,055  

AmerisourceBergen Corp.

    40,464       6,478,691  

Amgen, Inc.

    47,115       11,390,051  

Apellis Pharmaceuticals, Inc. *

    9,440       622,662  

Arcutis Biotherapeutics, Inc. *

    34,856       383,416  

Argenx SE ADR * (Netherlands)

    5,090       1,896,432  

Arvinas, Inc. *

    10,600       289,592  

AstraZeneca PLC (United Kingdom)

    28,438       3,940,206  

AstraZeneca PLC ADR (United Kingdom)

    18,553       1,287,764  

Avantor, Inc. *

    58,070       1,227,600  

Bausch & Lomb Corp. *

    57,594       1,002,712  

Baxter International, Inc.

    77,158       3,129,528  

Becton Dickinson & Co.

    24,885       6,160,033  

Biogen, Inc. *

    15,061       4,187,410  

BioMarin Pharmaceutical, Inc. *

    24,587       2,390,840  

Biomea Fusion, Inc. *

    12,099       375,190  

BioNTech SE ADR (Germany)

    7,155       891,298  

Blueprint Medicines Corp. *

    18,580       835,914  

Boston Scientific Corp. *

    302,457       15,131,924  

Bristol-Myers Squibb Co.

    28,146       1,950,799  

Catalent, Inc. *

    14,315       940,639  

Centene Corp. *

    20,829       1,316,601  

Cerevel Therapeutics Holdings, Inc. *

    14,624       356,679  

Cigna Group

    9,171       2,343,466  

Cooper Cos., Inc.

    9,112       3,402,056  

CureVac NV * (Germany)

    14,364       100,117  

Daiichi Sankyo Co. Ltd. (Japan)

    73,200       2,670,163  

Danaher Corp.

    53,805       13,561,012  

Decibel Therapeutics, Inc. *

    20,803       62,825  

Design Therapeutics, Inc. *

    11,344       65,455  

Dexcom, Inc. *

    38,066       4,422,508  

Edwards Lifesciences Corp. *

    25,917       2,144,113  

Elevance Health, Inc.

    8,788       4,040,810  

Eli Lilly & Co.

    67,578       23,207,637  

Enanta Pharmaceuticals, Inc. *

    2,470       99,887  

Encompass Health Corp.

    10,847       586,823  
   

Shares

   

Value

 

Envista Holdings Corp. *

    14,915       $ 609,725  

Exact Sciences Corp. *

    11,565       784,223  

Frequency Therapeutics, Inc. *

    19,740       9,929  

GE HealthCare Technologies, Inc. *

    47,560       3,901,347  

Genmab AS * (Denmark)

    1,934       731,062  

Genmab AS ADR * (Denmark)

    13,000       490,880  

Gilead Sciences, Inc.

    120,569       10,003,610  

Glaukos Corp. *

    3,530       176,853  

Guardant Health, Inc. *

    9,220       216,117  

HCA Healthcare, Inc.

    10,117       2,667,651  

Hologic, Inc. *

    7,745       625,021  

Horizon Therapeutics PLC *

    5,304       578,879  

Humana, Inc.

    6,335       3,075,389  

ICON PLC ADR (Ireland) *

    5,965       1,274,064  

IDEXX Laboratories, Inc. *

    5,040       2,520,403  

Illumina, Inc. *

    8,740       2,032,487  

Immuneering Corp. Class A *

    11,507       111,733  

Immunocore Holdings PLC ADR * (United Kingdom)

    7,997       395,372  

Incyte Corp. *

    23,005       1,662,571  

Insulet Corp. *

    5,970       1,904,191  

Intuitive Surgical, Inc. *

    39,321       10,045,336  

Ionis Pharmaceuticals, Inc. *

    13,405       479,095  

IQVIA Holdings, Inc. *

    18,215       3,622,781  

iRhythm Technologies, Inc. *

    1,670       207,130  

IVERIC bio, Inc. *

    8,505       206,927  

Johnson & Johnson

    70,577       10,939,435  

Karuna Therapeutics, Inc. *

    1,285       233,407  

Krystal Biotech, Inc. *

    2,235       178,934  

Legend Biotech Corp. ADR *

    10,392       501,102  

Masimo Corp. *

    6,230       1,149,684  

McKesson Corp.

    17,617       6,272,533  

Medtronic PLC

    97,292       7,843,681  

Merck & Co., Inc.

    165,487       17,606,162  

Mirati Therapeutics, Inc. *

    10,615       394,666  

Moderna, Inc. *

    19,979       3,068,375  

Monte Rosa Therapeutics, Inc. *

    22,869       178,150  

Morphic Holding, Inc. *

    4,980       187,447  

Nautilus Biotechnology, Inc. SPAC *

    13,880       38,448  

Neurocrine Biosciences, Inc. *

    16,210       1,640,776  

Novo Nordisk AS Class B (Denmark)

    18,405       2,923,105  

Novocure Ltd. *

    19,560       1,176,338  

Nuvalent, Inc. Class A *

    8,080       210,807  

Omnicell, Inc. *

    5,152       302,268  

Orchestra BioMed Holdings, Inc. *

    11,840       231,709  

Penumbra, Inc. *

    15,405       4,293,219  

Pfizer, Inc.

    143,946       5,872,997  

Pliant Therapeutics, Inc. *

    8,876       236,102  

PMV Pharmaceuticals, Inc. *

    14,248       67,963  

Prime Medicine, Inc. *

    16,502       202,975  

Prometheus Biosciences, Inc. *

    4,949       531,127  

Protagonist Therapeutics, Inc. *

    13,540       311,420  

Prothena Corp. PLC * (Ireland)

    6,265       303,665  

PTC Therapeutics, Inc. *

    4,465       216,285  

QIAGEN NV *

    22,146       1,017,166  

Quest Diagnostics, Inc.

    28,025       3,964,977  

Rapid Micro Biosystems, Inc. Class A *

    16,316       21,374  

Regeneron Pharmaceuticals, Inc. *

    12,335       10,135,299  

Repligen Corp. *

    5,695       958,810  

ResMed, Inc.

    10,197       2,233,041  

REVOLUTION Medicines, Inc. *

    13,995       303,132  

Rhythm Pharmaceuticals, Inc. *

    34,632       617,835  

Roche Holding AG

    4,677       1,336,417  

Rocket Pharmaceuticals, Inc. *

    12,263       210,065  

Sage Therapeutics, Inc. *

    15,705       658,982  

Sanofi

    17,776       1,928,318  

Sarepta Therapeutics, Inc. *

    13,024       1,795,098  

Seagen, Inc. *

    15,481       3,134,438  

STERIS PLC

    6,715       1,284,445  

Structure Therapeutics, Inc. ADR *

    9,293       221,080  

Stryker Corp.

    46,189       13,185,574  

Tenaya Therapeutics, Inc. *

    19,591       55,834  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

164

PACIFIC SELECT FUND

HEALTH SCIENCES PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Thermo Fisher Scientific, Inc.

    35,096       $ 20,228,282  

TScan Therapeutics, Inc. *

    23,807       49,995  

Ultragenyx Pharmaceutical, Inc. *

    4,520       181,252  

UnitedHealth Group, Inc.

    64,503       30,483,473  

Vertex Pharmaceuticals, Inc. *

    33,264       10,480,488  

Viking Therapeutics, Inc. *

    11,710       194,972  

Waters Corp. *

    8,635       2,673,655  

West Pharmaceutical Services, Inc.

    10,661       3,693,717  

Zimmer Biomet Holdings, Inc.

    10,825       1,398,590  

Zoetis, Inc.

    55,961       9,314,149  
   

 

 

 
    390,649,203  
   

 

 

 

Industrial - 0.9%

 

Agilent Technologies, Inc.

    17,852       2,469,646  

Mettler-Toledo International, Inc. *

    755       1,155,308  
   

 

 

 
    3,624,954  
   

 

 

 

Total Common Stocks
(Cost $344,257,290)

      394,274,157  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 2.5%

 

 

Repurchase Agreement - 2.5%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $9,967,216; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $10,162,863)

    $9,963,521       9,963,521  
   

 

 

 

Total Short-Term Investment
(Cost $9,963,521)

      9,963,521  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $354,248,703)

      404,270,870  
   

 

 

 

DERIVATIVES - (0.0%)

      (92,309
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    123,477  
   

 

 

 

NET ASSETS - 100.0%

      $404,302,038  
   

 

 

 

    

 

 

Notes to Schedule of Investments

 

(a)

An investment with a value of $30,922 or less than 0.1% of the Fund’s net assets was valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or to the Board of Trustees.

 

(b)

Forward foreign currency contracts outstanding as of March 31, 2023 were as follows:

 

Currency
Purchased
          Currency
Sold
         

Settlement

Month

         Counterparty          Unrealized
Appreciation
     Unrealized
Depreciation
 
USD      1,903,504        EUR      1,763,000          06/23         ANZ         $-        ($16,229
USD      6,266,255        GBP      5,134,000          06/23         CBA         -        (76,080
                       

 

 

    

 

 

 

Total Forward Foreign Currency Contracts

 

          $-        ($92,309
                       

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

165

PACIFIC SELECT FUND

HEALTH SCIENCES PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(c)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

     $30,922        $-        $        $30,922  
 

Warrants

     2,270        2,270        -        -  
 

Common Stocks

           
 

Consumer, Non-Cyclical

     390,649,203        377,119,932        13,529,271        -  
 

Industrial

     3,624,954        3,624,954        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     394,274,157        380,744,886        13,529,271        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investment

     9,963,521        -        9,963,521        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     404,270,870        380,747,156        23,492,792        30,922  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     (92,309      -        (92,309      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (92,309      -        (92,309      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $404,178,561        $380,747,156        $23,400,483        $30,922  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

166

PACIFIC SELECT FUND

REAL ESTATE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.5%

 

Consumer, Cyclical - 1.1%

 

Marriott Vacations Worldwide Corp.

    34,763       $4,688,138  
   

 

 

 

Financial - 97.4%

 

Agree Realty Corp. REIT

    79,961       5,486,124  

Alexandria Real Estate Equities, Inc. REIT

    110,810       13,916,628  

American Homes 4 Rent Class A REIT

    454,213       14,284,999  

American Tower Corp. REIT

    80,673       16,484,721  

Apartment Income REIT Corp.

    218,210       7,814,100  

Apple Hospitality REIT, Inc.

    236,463       3,669,906  

AvalonBay Communities, Inc. REIT

    121,018       20,338,285  

Boston Properties, Inc. REIT

    48,600       2,630,232  

Broadstone Net Lease, Inc. REIT

    353,676       6,016,029  

Cousins Properties, Inc. REIT

    223,996       4,789,034  

CubeSmart REIT

    252,157       11,654,697  

DiamondRock Hospitality Co. REIT

    344,667       2,802,143  

Digital Realty Trust, Inc. REIT

    142,327       13,992,167  

Equinix, Inc. REIT

    21,842       15,748,956  

Equity LifeStyle Properties, Inc. REIT

    197,209       13,238,640  

Equity Residential REIT

    58,194       3,491,640  

Essex Property Trust, Inc. REIT

    73,322       15,334,563  

Extra Space Storage, Inc. REIT

    122,326       19,930,575  

First Industrial Realty Trust, Inc. REIT

    217,547       11,573,500  

Gaming & Leisure Properties, Inc. REIT

    194,522       10,126,815  

Healthcare Realty Trust, Inc. REIT

    220,799       4,268,045  

InvenTrust Properties Corp. REIT

    90,985       2,129,049  

Invitation Homes, Inc. REIT

    487,007       15,209,229  

Kilroy Realty Corp. REIT

    137,393       4,451,533  

Medical Properties Trust, Inc. REIT

    137,787       1,132,609  

National Health Investors, Inc. REIT

    43,499       2,243,678  

NETSTREIT Corp. REIT

    144,742       2,645,884  

Prologis, Inc. REIT

    256,793       32,040,063  

Public Storage REIT

    30,993       9,364,225  

Regency Centers Corp. REIT

    219,597       13,434,944  

Rexford Industrial Realty, Inc. REIT

    265,453       15,834,271  

Sabra Health Care REIT, Inc.

    401,623       4,618,665  

Simon Property Group, Inc. REIT

    50,798       5,687,852  

Sun Communities, Inc. REIT

    121,459       17,111,144  

Terreno Realty Corp. REIT

    121,600       7,855,360  

Ventas, Inc. REIT

    436,710       18,931,378  

VICI Properties, Inc. REIT

    641,967       20,940,964  

Welltower, Inc. REIT

    259,927       18,634,167  
   

 

 

 
    409,856,814  
   

 

 

 

Total Common Stocks
(Cost $420,874,641)

      414,544,952  
   

 

 

 
   

Principal

Amount

    Value  

SHORT-TERM INVESTMENT - 1.1%

 

 

Repurchase Agreement - 1.1%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $4,673,228; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $4,764,936)

    $4,671,496       $4,671,496  
   

 

 

 

Total Short-Term Investment
(Cost $4,671,496)

      4,671,496  
   

 

 

 

TOTAL INVESTMENTS - 99.6%
(Cost $425,546,137)

      419,216,448  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.4%

 

    1,535,280  
   

 

 

 

NET ASSETS - 100.0%

      $420,751,728  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

167

PACIFIC SELECT FUND

REAL ESTATE PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

          

Total Value at

March 31, 2023

    

Level 1

Quoted Price

    

Level 2

Significant

Observable Inputs

    

Level 3

Significant

Unobservable Inputs

 

Assets

 

Common Stocks

     $414,544,952        $414,544,952        $-        $-  
 

Short-Term Investment

     4,671,496        -        4,671,496        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $419,216,448        $414,544,952        $4,671,496        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

168

PACIFIC SELECT FUND

TECHNOLOGY PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 95.8%

 

Communications - 27.4%

 

Alphabet, Inc. Class A *

    208,765       $21,655,194  

Amazon.com, Inc. *

    200,651       20,725,242  

Arista Networks, Inc. *

    10,254       1,721,236  

Booking Holdings, Inc. *

    2,764       7,331,261  

Charter Communications, Inc. Class A *

    3,390       1,212,298  

FactSet Research Systems, Inc.

    1,251       519,278  

Meta Platforms, Inc. Class A *

    18,698       3,962,854  

Palo Alto Networks, Inc. *

    13,083       2,613,198  

Pinterest, Inc. Class A *

    17,251       470,435  

Q2 Holdings, Inc. *

    16,937       416,989  

Shopify, Inc. Class A * (Canada)

    44,512       2,133,905  

Tencent Holdings Ltd. (China)

    31,100       1,519,835  
   

 

 

 
    64,281,725  
   

 

 

 

Consumer, Cyclical - 0.8%

 

Mobileye Global, Inc. Class A * (Israel)

    41,198       1,782,637  
   

 

 

 

Consumer, Non-Cyclical - 9.8%

 

Dun & Bradstreet Holdings, Inc.

    99,693       1,170,396  

Equifax, Inc.

    5,618       1,139,555  

FleetCor Technologies, Inc. *

    14,223       2,998,919  

Gartner, Inc. *

    6,606       2,152,037  

Global Payments, Inc.

    22,122       2,328,119  

Morningstar, Inc.

    3,817       774,965  

Nuvei Corp. * ~ (Canada)

    13,182       573,747  

PayPal Holdings, Inc. *

    40,680       3,089,239  

S&P Global, Inc.

    4,240       1,461,825  

TransUnion

    9,383       583,060  

Verisk Analytics, Inc.

    10,881       2,087,629  

WEX, Inc. *

    24,914       4,581,435  
   

 

 

 
    22,940,926  
   

 

 

 

Energy - 0.3%

 

Enphase Energy, Inc. *

    3,790       796,961  
   

 

 

 

Financial - 11.4%

 

Aon PLC Class A

    8,669       2,733,249  

Arthur J Gallagher & Co.

    22,126       4,232,925  

Charles Schwab Corp.

    2,015       105,546  

Mastercard, Inc. Class A

    36,367       13,216,131  

Tradeweb Markets, Inc. Class A

    13,805       1,090,871  

Visa, Inc. Class A

    23,625       5,326,493  
   

 

 

 
    26,705,215  
   

 

 

 

Industrial - 2.6%

 

Amphenol Corp. Class A

    32,540       2,659,169  

Hitachi Ltd. (Japan)

    60,400       3,319,625  
   

 

 

 
    5,978,794  
   

 

 

 

Technology - 43.5%

 

Accenture PLC Class A

    19,760       5,647,606  

Activision Blizzard, Inc.

    20,955       1,793,538  

Adobe, Inc. *

    16,579       6,389,049  

Advanced Micro Devices, Inc. *

    17,339       1,699,395  

Apple, Inc.

    6,137       1,011,991  

Atlassian Corp. Class A *

    5,936       1,016,065  

Black Knight, Inc. *

    39,327       2,263,662  

Constellation Software, Inc. (Canada)

    1,583       2,976,145  

Descartes Systems Group, Inc. * (Canada)

    27,266       2,200,648  

Endava PLC ADR * (United Kingdom)

    20,267       1,361,537  

Fidelity National Information Services, Inc.

    25,963       1,410,570  

Freshworks, Inc. Class A *

    14,326       220,047  
   

Shares

   

Value

 

HubSpot, Inc. *

    3,682       $ 1,578,658  

Intuit, Inc.

    13,696       6,106,088  

KLA Corp.

    7,191       2,870,432  

Lam Research Corp.

    1,638       868,337  

Marvell Technology, Inc.

    70,201       3,039,703  

Microsoft Corp.

    110,824       31,950,559  

MSCI, Inc.

    3,244       1,815,634  

NVIDIA Corp.

    35,155       9,765,004  

Paycor HCM, Inc. *

    26,939       714,422  

Rakus Co. Ltd. (Japan)

    27,500       399,395  

RingCentral, Inc. Class A *

    19,745       605,579  

Salesforce, Inc. *

    29,052       5,804,009  

ServiceNow, Inc. *

    8,755       4,068,624  

Take-Two Interactive Software, Inc. *

    18,036       2,151,695  

TaskUS, Inc. Class A * (Philippines)

    23,051       332,856  

Thoughtworks Holding, Inc. *

    102,066       751,206  

Topicus.com, Inc. * (Netherlands)

    16,930       1,209,841  
   

 

 

 
    102,022,295  
   

 

 

 

Total Common Stocks
(Cost $190,675,458)

      224,508,553  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 5.0%

 

Repurchase Agreement - 5.0%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $11,715,931; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $11,945,826)

    $11,711,588       11,711,588  
   

 

 

 

Total Short-Term Investment
(Cost $11,711,588)

      11,711,588  
   

 

 

 

TOTAL INVESTMENTS - 100.8%
(Cost $202,387,046)

      236,220,141  
   

 

 

 

DERIVATIVES - 0.1%

      151,351  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.9%)

 

    (2,087,303
   

 

 

 

NET ASSETS - 100.0%

      $234,284,189  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

169

PACIFIC SELECT FUND

TECHNOLOGY PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Purchased options outstanding as of March 31, 2023 were as follows:

Options on Securities

 

Description    Exercise
Price
     Expiration
Date
     Exchange      Number of
Contracts
     Notional
Amount
     Cost      Value  

Put - Invesco QQQ Trust

     $295.00        06/16/23        OCC        307        $9,056,500        $802,971        $151,351  
                 

 

 

    

 

 

 

Total Purchased Options

 

           $802,971        $151,351  
                 

 

 

    

 

 

 

 

(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

  Common Stocks            
 

Communication

     $64,281,725        $62,761,890        $1,519,835        $-  
 

Consumer, Cyclical

     1,782,637        1,782,637        -        -  
 

Consumer, Non-Cyclical

     22,940,926        22,940,926        -        -  
 

Energy

     796,961        796,961        -        -  
 

Financial

     26,705,215        26,705,215        -        -  
 

Industrial

     5,978,794        2,659,169        3,319,625        -  
 

Technology

     102,022,295        101,622,900        399,395        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     224,508,553        219,269,698        5,238,855        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
  Short-Term Investment      11,711,588        -        11,711,588        -  
  Derivatives:            
 

Equity Contracts

           
 

Purchased options

     151,351        -        151,351        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $236,371,492        $219,269,698        $17,101,794        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

170

PACIFIC SELECT FUND

ESG DIVERSIFIED PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

MUTUAL FUNDS - 100.2%

   

Affiliated Mutual Fund - 14.2%

   

Pacific Funds ESG Core Bond Class I

    361,726       $3,107,228  
   

 

 

 

Unaffiliated Mutual Funds - 86.0%

   

BlackRock Advantage ESG Emerging Markets Equity Fund Class K

    67,343       556,250  

Calvert Green Bond Fund Class R6

    222,790       3,099,004  

Calvert Small Cap Fund Class R6

    24,314       776,588  

Calvert US Mid Cap Core Responsible Index Fund Class R6

    32,672       1,116,395  

Fidelity International Sustainability Index Fund Institutional

    178,119       2,009,181  

Fidelity US Sustainability Index Fund Institutional

    454,943       8,193,531  

JPMorgan High Yield Fund Class R6

    174,975       1,086,593  

PIMCO Low Duration ESG Fund Institutional

    215,356       1,920,978  
   

 

 

 
      18,758,520  
   

 

 

 

Total Mutual Funds
(Cost $22,864,916)

      21,865,748  
   

 

 

 

TOTAL INVESTMENTS - 100.2%
(Cost $22,864,916)

      21,865,748  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.2%)

 

    (49,950
   

 

 

 

NET ASSETS - 100.0%

      $21,815,798  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Mutual Funds

     $21,865,748        $21,865,748        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

171

PACIFIC SELECT FUND

ESG DIVERSIFIED GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

MUTUAL FUNDS - 100.3%

   

Affiliated Mutual Fund - 7.3%

   

Pacific Funds ESG Core Bond Class I

    107,180       $920,673  
   

 

 

 

Unaffiliated Mutual Funds - 93.0%

   

BlackRock Advantage ESG Emerging Markets Equity Fund Class K

    62,147       513,332  

Calvert Green Bond Fund Class R6

    65,888       916,495  

Calvert Small Cap Fund Class R6

    19,866       634,518  

Calvert US Mid Cap Core Responsible Index Fund Class R6

    28,014       957,239  

Fidelity International Sustainability Index Fund Institutional

    153,458       1,731,001  

Fidelity US Sustainability Index Fund Institutional

    303,689       5,469,434  

JPMorgan High Yield Fund Class R6

    70,150       435,631  

PIMCO Low Duration ESG Fund Institutional

    116,240       1,036,858  
   

 

 

 
      11,694,508  
   

 

 

 

Total Mutual Funds
(Cost $13,054,866)

      12,615,181  
   

 

 

 

TOTAL INVESTMENTS - 100.3%
(Cost $13,054,866)

      12,615,181  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.3%)

 

    (36,767
   

 

 

 

NET ASSETS - 100.0%

      $12,578,414  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Mutual Funds

     $12,615,181        $12,615,181        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

172

PACIFIC SELECT FUND

PSF AVANTIS BALANCED ALLOCATION PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

EXCHANGE-TRADED FUNDS - 85.3%

   

American Century Diversified Corporate Bond *

    425,188       $19,718,094  

Avantis Core Fixed Income *

    1,323,407       55,754,475  

Avantis Emerging Markets Equity *

    158,762       8,396,922  

Avantis International Equity *

    535,004       30,511,278  

Avantis Real Estate *

    157,571       6,532,894  

Avantis Short-Term Fixed Income *

    422,561       19,579,913  

Avantis US Equity *

    1,980,314       140,364,657  

Avantis US Small Cap Value *

    22,105       1,637,096  
   

 

 

 
      282,495,329  
   

 

 

 

Total Exchange-Traded Funds
(Cost $269,136,646)

      282,495,329  
   

 

 

 

MUTUAL FUNDS - 14.7%

   

American Century Diversified Bond Fund Class I *

    3,805,311       35,884,086  

American Century Small Cap Growth Fund Class I *

    92,453       1,669,702  

American Century Short Duration Bond Fund Class I *

    1,158,337       11,351,703  
   

 

 

 

Total Mutual Funds
(Cost $47,465,188)

      48,905,491  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $316,601,834)

      331,400,820  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (143,254
   

 

 

 

NET ASSETS - 100.0%

      $331,257,566  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Exchange-Traded Funds

     $282,495,329        $282,495,329        $-        $-  
 

Mutual Funds

     48,905,491        48,905,491        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $331,400,820        $331,400,820        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

173

PACIFIC SELECT FUND

PACIFIC DYNAMIX - CONSERVATIVE GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

PD 1-3 Year Corporate Bond Portfolio Class P *

    4,617,481       $51,243,611  

PD Aggregate Bond Index Portfolio Class P *

    18,458,474       230,233,653  

PD High Yield Bond Market Portfolio Class P *

    1,780,614       31,264,691  

PD Large-Cap Growth Index Portfolio Class P *

    840,392       55,884,681  

PD Large-Cap Value Index Portfolio Class P *

    1,645,789       66,483,431  

PD Mid-Cap Index Portfolio Class P *

    2,490,086       29,413,029  

PD Small-Cap Growth Index Portfolio Class P *

    144,322       5,315,209  

PD Small-Cap Value Index Portfolio Class P *

    171,123       5,276,884  

PD Emerging Markets Index Portfolio Class P *

    622,456       10,526,656  

PD International Large-Cap Index Portfolio Class P *

    1,472,252       34,532,412  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $490,125,862)

      520,174,257  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $490,125,862)

      520,174,257  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (218,713
   

 

 

 

NET ASSETS - 100.0%

      $519,955,544  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

     

Total Value at

March 31, 2023

    

Level 1

Quoted Price

    

Level 2

Significant

Observable Inputs

    

Level 3

Significant

Unobservable Inputs

 

Assets

 

Affiliated Mutual Funds

     $520,174,257        $520,174,257        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

174

PACIFIC SELECT FUND

PACIFIC DYNAMIX - MODERATE GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

PD 1-3 Year Corporate Bond Portfolio Class P *

    20,491,544       $227,409,871  

PD Aggregate Bond Index Portfolio Class P *

    55,595,355       693,444,197  

PD High Yield Bond Market Portfolio Class P *

    6,246,386       109,676,416  

PD Large-Cap Growth Index Portfolio Class P *

    6,569,651       436,870,903  

PD Large-Cap Value Index Portfolio Class P *

    11,775,541       475,685,808  

PD Mid-Cap Index Portfolio Class P *

    12,782,419       150,986,640  

PD Small-Cap Growth Index Portfolio Class P *

    1,018,779       37,520,559  

PD Small-Cap Value Index Portfolio Class P *

    1,205,210       37,164,921  

PD Emerging Markets Index Portfolio Class P *

    3,655,267       61,816,004  

PD International Large-Cap Index Portfolio Class P *

    9,613,969       225,500,426  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $2,152,926,042)

      2,456,075,745  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $2,152,926,042)

      2,456,075,745  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (910,215
   

 

 

 

NET ASSETS - 100.0%

      $2,455,165,530  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

     

Total Value at

March 31, 2023

    

Level 1

Quoted Price

    

Level 2

Significant

Observable Inputs

    

Level 3

Significant

Unobservable Inputs

 

Assets

 

Affiliated Mutual Funds

     $2,456,075,745        $2,456,075,745        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

175

PACIFIC SELECT FUND

PACIFIC DYNAMIX - GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

PD 1-3 Year Corporate Bond Portfolio Class P *

    15,009,440       $166,570,895  

PD Aggregate Bond Index Portfolio Class P *

    20,352,875       253,862,632  

PD High Yield Bond Market Portfolio Class P *

    3,049,457       53,543,525  

PD Large-Cap Growth Index Portfolio Class P *

    5,100,963       339,205,599  

PD Large-Cap Value Index Portfolio Class P *

    10,890,242       439,923,205  

PD Mid-Cap Index Portfolio Class P *

    12,484,673       147,469,644  

PD Small-Cap Growth Index Portfolio Class P *

    1,243,781       45,807,136  

PD Small-Cap Value Index Portfolio Class P *

    1,474,082       45,456,090  

PD Emerging Markets Index Portfolio Class P *

    4,307,469       72,845,717  

PD International Large-Cap Index Portfolio Class P *

    10,629,534       249,321,023  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $1,688,562,244)

      1,814,005,466  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $1,688,562,244)

      1,814,005,466  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (638,092
   

 

 

 

NET ASSETS - 100.0%

      $1,813,367,374  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

     

Total Value at

March 31, 2023

    

Level 1

Quoted Price

    

Level 2

Significant

Observable Inputs

    

Level 3

Significant

Unobservable Inputs

 

Assets

 

Affiliated Mutual Funds

     $1,814,005,466        $1,814,005,466        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

176

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION CONSERVATIVE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

Core Income Portfolio Class P *

    8,450,199       $98,897,855  

Diversified Bond Portfolio Class P *

    12,249,352       166,859,573  

Floating Rate Income Portfolio Class P *

    1,208,982       17,383,476  

High Yield Bond Portfolio Class P *

    5,189,013       52,491,030  

Inflation Managed Portfolio Class P *

    2,953,009       40,571,365  

Intermediate Bond Portfolio Class P *

    16,234,513       146,046,119  

Managed Bond Portfolio Class P *

    13,355,792       194,064,914  

Short Duration Bond Portfolio Class P *

    12,681,288       137,810,916  

Emerging Markets Debt Portfolio Class P *

    2,489,984       29,045,802  

Dividend Growth Portfolio Class P *

    428,799       15,963,597  

Equity Index Portfolio Class P *

    98,234       10,693,718  

Focused Growth Portfolio Class P *

    393,703       19,075,829  

Growth Portfolio Class P *

    353,444       18,995,813  

Large-Cap Core Portfolio Class P *

    261,321       17,196,463  

Large-Cap Growth Portfolio Class P *

    812,419       17,260,427  

Large-Cap Value Portfolio Class P *

    614,809       21,905,234  

Mid-Cap Equity Portfolio Class P *

    333,109       11,923,909  

Mid-Cap Growth Portfolio Class P *

    656,424       17,879,788  

Mid-Cap Value Portfolio Class P *

    619,605       23,812,028  

Small-Cap Equity Portfolio Class P *

    84,915       2,957,322  

Small-Cap Value Portfolio Class P *

    94,308       2,951,950  

Value Portfolio Class P *

    1,098,853       24,245,864  

Value Advantage Portfolio Class P *

    882,854       20,734,660  

Emerging Markets Portfolio Class P *

    932,714       17,592,757  

International Growth Portfolio Class P *

    2,277,341       19,623,048  

International Large-Cap Portfolio Class P *

    594,873       8,298,738  

International Value Portfolio Class P *

    453,495       7,701,107  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $1,168,032,314)

      1,161,983,302  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $1,168,032,314)

      1,161,983,302  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (412,811
   

 

 

 

NET ASSETS - 100.0%

 

    $1,161,570,491  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $1,161,983,302        $1,161,983,302        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

177

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION MODERATE-CONSERVATIVE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

Core Income Portfolio Class P *

    10,005,272       $117,097,822  

Diversified Bond Portfolio Class P *

    14,580,834       198,618,804  

Floating Rate Income Portfolio Class P *

    1,142,775       16,431,520  

High Yield Bond Portfolio Class P *

    4,909,602       49,664,562  

Inflation Managed Portfolio Class P *

    2,994,695       41,144,097  

Intermediate Bond Portfolio Class P *

    19,271,209       173,364,319  

Managed Bond Portfolio Class P *

    15,832,595       230,053,838  

Short Duration Bond Portfolio Class P *

    16,451,291       178,780,537  

Emerging Markets Debt Portfolio Class P *

    1,414,115       16,495,739  

Dividend Growth Portfolio Class P *

    1,241,628       46,224,067  

Equity Index Portfolio Class P *

    302,880       32,971,382  

Focused Growth Portfolio Class P *

    770,082       37,312,279  

Growth Portfolio Class P *

    754,165       40,532,525  

Large-Cap Core Portfolio Class P *

    743,496       48,926,359  

Large-Cap Growth Portfolio Class P *

    1,674,506       35,576,083  

Large-Cap Value Portfolio Class P *

    1,323,317       47,148,927  

Mid-Cap Equity Portfolio Class P *

    473,944       16,965,239  

Mid-Cap Growth Portfolio Class P *

    934,281       25,448,127  

Mid-Cap Value Portfolio Class P *

    881,297       33,869,099  

Small-Cap Equity Portfolio Class P *

    192,991       6,721,288  

Small-Cap Growth Portfolio Class P *

    200,025       5,958,430  

Small-Cap Index Portfolio Class P *

    201,486       5,892,458  

Small-Cap Value Portfolio Class P *

    214,214       6,705,112  

Value Portfolio Class P *

    2,480,183       54,724,516  

Value Advantage Portfolio Class P *

    1,901,172       44,650,839  

Emerging Markets Portfolio Class P *

    1,773,929       33,459,651  

International Growth Portfolio Class P *

    3,552,141       30,607,547  

International Large-Cap Portfolio Class P *

    1,701,098       23,731,061  

International Value Portfolio Class P *

    2,293,767       38,951,993  

Real Estate Portfolio Class P *

    523,358       16,852,359  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $1,570,415,209)

      1,654,880,579  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $1,570,415,209)

 

    1,654,880,579  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (583,206
   

 

 

 

NET ASSETS - 100.0%

      $1,654,297,373  
   

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $1,654,880,579        $1,654,880,579        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

178

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION MODERATE PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

    

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

Core Income Portfolio Class P *

    27,951,813        $327,137,175  

Diversified Bond Portfolio Class P *

    40,379,116        550,040,685  

Floating Rate Income Portfolio Class P *

    2,455,350        35,304,519  

High Yield Bond Portfolio Class P *

    17,582,830        177,864,442  

Inflation Managed Portfolio Class P *

    10,301,994        141,539,010  

Intermediate Bond Portfolio Class P *

    53,629,290        482,450,540  

Managed Bond Portfolio Class P *

    44,162,143        641,693,342  

Short Duration Bond Portfolio Class P *

    64,235,337        698,062,424  

Emerging Markets Debt Portfolio Class P *

    6,081,215        70,937,725  

Dividend Growth Portfolio Class P *

    9,430,656        351,089,940  

Equity Index Portfolio Class P *

    2,408,352        262,172,190  

Focused Growth Portfolio Class P *

    5,878,325        284,818,739  

Growth Portfolio Class P *

    5,007,688        269,137,828  

Large-Cap Core Portfolio Class P *

    5,576,380        366,958,435  

Large-Cap Growth Portfolio Class P *

    10,816,201        229,797,941  

Large-Cap Value Portfolio Class P *

    8,244,669        293,752,228  

Mid-Cap Equity Portfolio Class P *

    2,041,980        73,094,371  

Mid-Cap Growth Portfolio Class P *

    4,023,088        109,581,594  

Mid-Cap Value Portfolio Class P *

    3,798,068        145,963,507  

Small-Cap Equity Portfolio Class P *

    1,247,361        43,441,860  

Small-Cap Growth Portfolio Class P *

    1,845,466        54,973,652  

Small-Cap Index Portfolio Class P *

    1,240,100        36,266,704  

Small-Cap Value Portfolio Class P *

    1,500,432        46,965,007  

Value Portfolio Class P *

    14,298,867        315,500,340  

Value Advantage Portfolio Class P *

    11,900,689        279,499,053  

Emerging Markets Portfolio Class P *

    9,543,920        180,016,368  

International Growth Portfolio Class P *

    29,301,455        252,480,327  

International Large-Cap Portfolio Class P *

    10,985,018        153,245,768  

International Small-Cap Portfolio Class P *

    2,200,694        36,264,764  

International Value Portfolio Class P *

    10,520,906        178,662,537  

Real Estate Portfolio Class P *

    2,252,232        72,522,904  
    

 

 

 

Total Affiliated Mutual Funds
(Cost $6,502,439,769)

       7,161,235,919  
    

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $6,502,439,769)

 

     7,161,235,919  
    

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

     (2,390,173
    

 

 

 

NET ASSETS - 100.0%

       $7,158,845,746  
    

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $7,161,235,919        $7,161,235,919        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

179

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

Core Income Portfolio Class P *

    17,825,631       $208,624,265  

Diversified Bond Portfolio Class P *

    35,667,242       485,855,957  

High Yield Bond Portfolio Class P *

    19,696,936       199,250,327  

Inflation Managed Portfolio Class P *

    9,616,108       132,115,625  

Intermediate Bond Portfolio Class P *

    41,124,056       369,953,119  

Managed Bond Portfolio Class P *

    33,642,907       488,844,687  

Short Duration Bond Portfolio Class P *

    15,061,427       163,676,514  

Emerging Markets Debt Portfolio Class P *

    5,686,341       66,331,493  

Dividend Growth Portfolio Class P *

    9,226,349       343,483,879  

Equity Index Portfolio Class P *

    2,179,197       237,226,485  

Focused Growth Portfolio Class P *

    7,436,421       360,312,192  

Growth Portfolio Class P *

    5,200,974       279,525,991  

Large-Cap Core Portfolio Class P *

    3,595,439       236,600,907  

Large-Cap Growth Portfolio Class P *

    12,980,150       275,772,587  

Large-Cap Value Portfolio Class P *

    8,585,739       305,904,350  

Mid-Cap Equity Portfolio Class P *

    2,993,605       107,158,614  

Mid-Cap Growth Portfolio Class P *

    7,795,941       212,347,280  

Mid-Cap Value Portfolio Class P *

    6,053,446       232,639,912  

Small-Cap Equity Portfolio Class P *

    2,339,241       81,468,805  

Small-Cap Growth Portfolio Class P *

    1,316,362       39,212,451  

Small-Cap Index Portfolio Class P *

    1,840,254       53,818,204  

Small-Cap Value Portfolio Class P *

    2,451,420       76,731,906  

Value Portfolio Class P *

    13,094,665       288,929,971  

Value Advantage Portfolio Class P *

    11,817,157       277,537,219  

Emerging Markets Portfolio Class P *

    8,911,072       168,079,666  

International Growth Portfolio Class P *

    30,286,288       260,966,280  

International Large-Cap Portfolio Class P *

    16,590,094       231,439,013  

International Small-Cap Portfolio Class P *

    6,119,954       100,849,381  

International Value Portfolio Class P *

    14,755,836       250,578,709  

Real Estate Portfolio Class P *

    2,905,139       93,546,798  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $5,667,936,738)

      6,628,782,587  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $5,667,936,738)

      6,628,782,587  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (2,182,418
   

 

 

 

NET ASSETS - 100.0%

      $6,626,600,169  
   

 

 

 

    

    

    

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

  Affiliated Mutual Funds      $6,628,782,587        $6,628,782,587        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

180

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION AGGRESSIVE-GROWTH PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

Core Income Portfolio Class P *

    3,099,383       $36,273,972  

Diversified Bond Portfolio Class P *

    4,032,537       54,930,850  

High Yield Bond Portfolio Class P *

    4,697,346       47,517,424  

Inflation Managed Portfolio Class P *

    1,138,374       15,640,114  

Intermediate Bond Portfolio Class P *

    4,699,505       42,276,876  

Managed Bond Portfolio Class P *

    3,772,525       54,816,275  

Short Duration Bond Portfolio Class P *

    1,429,797       15,537,987  

Emerging Markets Debt Portfolio Class P *

    1,360,428       15,869,474  

Dividend Growth Portfolio Class P *

    2,456,710       91,459,821  

Equity Index Portfolio Class P *

    580,233       63,163,911  

Focused Growth Portfolio Class P *

    1,996,489       96,734,593  

Growth Portfolio Class P *

    1,400,158       75,251,399  

Large-Cap Core Portfolio Class P *

    957,099       62,982,738  

Large-Cap Growth Portfolio Class P *

    3,455,903       73,423,145  

Large-Cap Value Portfolio Class P *

    2,255,222       80,352,105  

Mid-Cap Equity Portfolio Class P *

    761,080       27,243,515  

Mid-Cap Growth Portfolio Class P *

    2,138,412       58,246,448  

Mid-Cap Value Portfolio Class P *

    1,462,538       56,206,793  

Small-Cap Equity Portfolio Class P *

    739,556       25,756,532  

Small-Cap Growth Portfolio Class P *

    1,031,864       30,737,676  

Small-Cap Index Portfolio Class P *

    573,937       16,784,777  

Small-Cap Value Portfolio Class P *

    829,871       25,975,780  

Value Portfolio Class P *

    3,447,685       76,072,173  

Value Advantage Portfolio Class P *

    3,095,411       72,698,693  

Emerging Markets Portfolio Class P *

    3,845,774       72,538,560  

International Growth Portfolio Class P *

    8,495,454       73,202,339  

International Large-Cap Portfolio Class P *

    4,859,887       67,797,527  

International Small-Cap Portfolio Class P *

    2,939,500       48,439,377  

International Value Portfolio Class P *

    4,616,509       78,396,019  

Real Estate Portfolio Class P *

    914,758       29,455,623  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $1,308,364,883)

      1,585,782,516  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $1,308,364,883)

      1,585,782,516  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (537,383
   

 

 

 

NET ASSETS - 100.0%

      $1,585,245,133  
   

 

 

 

    

    

    

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

  Affiliated Mutual Funds      $1,585,782,516        $1,585,782,516        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

181

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 98.6%

 

Basic Materials - 1.5%

 

Air Products & Chemicals, Inc.
1.500% due 10/15/25

    $350,000       $325,830  

BHP Billiton Finance USA Ltd. (Australia)
4.875% due 02/27/26

    500,000       503,860  

Celanese US Holdings LLC

   

5.900% due 07/05/24

    150,000       150,124  

6.050% due 03/15/25

    950,000       956,115  

DuPont de Nemours, Inc.
4.493% due 11/15/25

    750,000       749,404  

Eastman Chemical Co.
3.800% due 03/15/25

    250,000       243,880  

EIDP, Inc.
1.700% due 07/15/25

    250,000       234,960  

Fibria Overseas Finance Ltd. (Brazil)
4.000% due 01/14/25

    250,000       243,675  

Freeport-McMoRan, Inc.
4.550% due 11/14/24

    350,000       348,388  

Linde, Inc.
4.700% due 12/05/25

    250,000       251,484  

LYB International Finance III LLC
1.250% due 10/01/25

    350,000       317,264  

Nucor Corp.
2.000% due 06/01/25

    250,000       235,264  

Nutrien Ltd. (Canada)
5.950% due 11/07/25

    570,000       586,544  

PPG Industries, Inc.
1.200% due 03/15/26

    250,000       224,281  

Sherwin-Williams Co.

   

3.125% due 06/01/24

    150,000       146,705  

4.250% due 08/08/25

    840,000       831,078  

Steel Dynamics, Inc.
2.800% due 12/15/24

    150,000       143,559  

Westlake Corp.
0.875% due 08/15/24

    250,000       236,935  
   

 

 

 
      6,729,350  
   

 

 

 

Communications - 6.1%

 

Alibaba Group Holding Ltd. (China)
3.600% due 11/28/24

    1,000,000       977,831  

Alphabet, Inc.
0.450% due 08/15/25

    750,000       688,241  

Amazon.com, Inc.

   

0.450% due 05/12/24

    285,000       273,218  

0.800% due 06/03/25

    350,000       325,782  

2.730% due 04/13/24

    200,000       196,060  

3.000% due 04/13/25

    250,000       243,941  

3.800% due 12/05/24

    1,750,000       1,735,743  

4.600% due 12/01/25

    250,000       252,166  

4.700% due 11/29/24

    1,700,000       1,712,322  

5.200% due 12/03/25

    250,000       254,771  

AT&T, Inc.
5.539% due 02/20/26

    1,450,000       1,454,800  

Baidu, Inc. (China)
4.125% due 06/30/25

    750,000       734,707  

Booking Holdings, Inc.
3.650% due 03/15/25

    150,000       146,908  

Charter Communications Operating LLC/Charter Communications Operating Capital
4.908% due 07/23/25

    1,250,000       1,238,030  

Cisco Systems, Inc.

   

2.950% due 02/28/26

    500,000       483,891  

3.500% due 06/15/25

    250,000       245,385  

Comcast Corp.

   

3.150% due 03/01/26

    500,000       485,119  
   

Principal
Amount

   

Value

 

3.375% due 02/15/25

    $250,000       $244,983  

3.375% due 08/15/25

    2,250,000       2,198,873  

5.250% due 11/07/25

    355,000       362,915  

Discovery Communications LLC

   

3.900% due 11/15/24

    200,000       194,478  

3.950% due 06/15/25

    1,250,000       1,207,143  

eBay, Inc.

   

1.900% due 03/11/25

    750,000       709,517  

5.900% due 11/22/25

    175,000       179,831  

Expedia Group, Inc.
5.000% due 02/15/26

    250,000       249,068  

Fox Corp.
3.050% due 04/07/25

    500,000       481,092  

Omnicom Group, Inc./Omnicom Capital, Inc.
3.650% due 11/01/24

    250,000       245,081  

Paramount Global
4.000% due 01/15/26

    750,000       725,732  

Rogers Communications, Inc. (Canada)

   

2.950% due 03/15/25 ~

    610,000       587,745  

3.625% due 12/15/25

    250,000       240,844  

T-Mobile USA, Inc.

   

2.250% due 02/15/26

    1,000,000       930,961  

3.500% due 04/15/25

    1,250,000       1,215,729  

TCI Communications, Inc.
7.875% due 02/15/26

    250,000       272,768  

TWDC Enterprises 18 Corp.

   

3.000% due 02/13/26

    250,000       241,764  

3.150% due 09/17/25

    1,250,000       1,209,279  

VeriSign, Inc.
5.250% due 04/01/25

    200,000       199,911  

Verizon Communications, Inc.

   

1.450% due 03/20/26

    500,000       460,258  

3.376% due 02/15/25

    750,000       734,978  

Vodafone Group PLC (United Kingdom)
4.125% due 05/30/25

    750,000       741,966  

Walt Disney Co.

   

1.750% due 08/30/24

    1,000,000       962,868  

3.350% due 03/24/25

    250,000       245,680  

Weibo Corp. (China)
3.500% due 07/05/24

    250,000       243,387  

WPP Finance 2010 (United Kingdom)
3.750% due 09/19/24

    500,000       488,312  
   

 

 

 
      27,024,078  
   

 

 

 

Consumer, Cyclical - 7.4%

 

American Honda Finance Corp.

   

0.550% due 07/12/24

    500,000       474,067  

0.750% due 08/09/24

    165,000       156,360  

1.000% due 09/10/25

    350,000       321,470  

1.200% due 07/08/25

    1,250,000       1,159,113  

2.400% due 06/27/24

    500,000       485,400  

AutoNation, Inc.
3.500% due 11/15/24

    250,000       242,088  

AutoZone, Inc.
3.625% due 04/15/25

    500,000       487,521  

Brunswick Corp.
0.850% due 08/18/24

    250,000       233,614  

Costco Wholesale Corp.
2.750% due 05/18/24

    500,000       490,875  

Dollar General Corp.
4.250% due 09/20/24

    500,000       494,235  

Dollar Tree, Inc.
4.000% due 05/15/25

    500,000       490,962  

DR Horton, Inc.

   

2.500% due 10/15/24

    250,000       239,270  

2.600% due 10/15/25

    250,000       234,046  

General Motors Co.
6.125% due 10/01/25

    350,000       356,825  

General Motors Financial Co., Inc.

   

1.200% due 10/15/24

    1,115,000       1,044,240  

2.750% due 06/20/25

    2,500,000       2,368,311  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

182

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

2.900% due 02/26/25

    $350,000       $334,287  

3.500% due 11/07/24

    250,000       243,678  

3.800% due 04/07/25

    130,000       126,474  

4.350% due 04/09/25

    250,000       244,917  

6.050% due 10/10/25

    300,000       305,046  

Genuine Parts Co.
1.750% due 02/01/25

    250,000       236,310  

Harley-Davidson, Inc.
3.500% due 07/28/25

    250,000       239,015  

Hasbro, Inc.
3.000% due 11/19/24

    250,000       241,205  

Home Depot, Inc.

   

2.700% due 04/15/25

    135,000       130,614  

3.350% due 09/15/25

    1,000,000       978,678  

4.000% due 09/15/25

    80,000       79,460  

Honda Motor Co. Ltd. (Japan)
2.271% due 03/10/25

    165,000       157,787  

Hyatt Hotels Corp.
1.800% due 10/01/24

    590,000       558,919  

Lennar Corp.
4.500% due 04/30/24

    350,000       345,913  

Lowe’s Cos., Inc.

   

4.000% due 04/15/25

    250,000       246,735  

4.400% due 09/08/25

    1,055,000       1,050,423  

4.800% due 04/01/26

    140,000       140,866  

Magna International, Inc. (Canada)

   

3.625% due 06/15/24

    250,000       245,670  

5.980% due 03/21/26

    250,000       252,197  

Marriott International, Inc.

   

3.750% due 03/15/25

    150,000       145,999  

3.750% due 10/01/25

    250,000       241,136  

5.750% due 05/01/25

    500,000       503,742  

McDonald’s Corp.

   

1.450% due 09/01/25

    250,000       232,929  

3.700% due 01/30/26

    1,250,000       1,229,367  

NIKE, Inc.
2.400% due 03/27/25

    500,000       484,114  

PACCAR Financial Corp.

   

0.500% due 08/09/24

    140,000       132,170  

2.850% due 04/07/25

    100,000       96,621  

3.550% due 08/11/25

    850,000       830,949  

4.450% due 03/30/26

    200,000       200,381  

4.950% due 10/03/25

    100,000       100,961  

PVH Corp.
4.625% due 07/10/25

    250,000       244,934  

Ralph Lauren Corp.
3.750% due 09/15/25

    250,000       244,790  

Southwest Airlines Co.
5.250% due 05/04/25

    500,000       499,909  

Starbucks Corp.

   

3.800% due 08/15/25

    250,000       246,146  

4.750% due 02/15/26

    845,000       850,323  

Tapestry, Inc.
4.250% due 04/01/25

    200,000       197,304  

Target Corp.
2.250% due 04/15/25

    850,000       817,025  

Toyota Motor Credit Corp.

   

0.500% due 06/18/24

    250,000       238,004  

0.625% due 09/13/24

    440,000       415,925  

1.450% due 01/13/25

    1,650,000       1,562,924  

3.000% due 04/01/25

    350,000       339,244  

3.650% due 08/18/25

    620,000       606,562  

3.950% due 06/30/25

    175,000       172,914  

4.400% due 09/20/24

    2,250,000       2,244,961  

4.800% due 01/10/25

    200,000       201,337  

5.400% due 11/10/25

    100,000       102,627  

United Airlines Pass-Through Trust
4.300% due 02/15/27

    578,180       555,483  

VF Corp.
2.400% due 04/23/25

    250,000       235,826  

Walgreens Boots Alliance, Inc.
3.800% due 11/18/24

    500,000       490,119  
   

Principal
Amount

   

Value

 

Walmart, Inc.

   

2.850% due 07/08/24

    $750,000       $733,552  

3.300% due 04/22/24

    350,000       345,723  

3.900% due 09/09/25

    870,000       867,853  

Warnermedia Holdings, Inc.

   

3.638% due 03/15/25 ~

    250,000       241,653  

6.412% due 03/15/26

    165,000       165,883  

Whirlpool Corp.
3.700% due 05/01/25

    350,000       342,439  

WW Grainger, Inc.
1.850% due 02/15/25

    150,000       142,644  
   

 

 

 
      32,741,064  
   

 

 

 

Consumer, Non-Cyclical - 14.1%

 

Abbott Laboratories

   

2.950% due 03/15/25

    500,000       488,743  

3.875% due 09/15/25

    350,000       345,804  

AbbVie, Inc.

   

2.600% due 11/21/24

    1,350,000       1,303,398  

3.600% due 05/14/25

    2,250,000       2,207,983  

3.800% due 03/15/25

    350,000       344,458  

3.850% due 06/15/24

    200,000       197,633  

Aetna, Inc.
3.500% due 11/15/24

    250,000       244,129  

Altria Group, Inc.

   

2.350% due 05/06/25

    250,000       237,486  

4.400% due 02/14/26

    500,000       496,440  

AmerisourceBergen Corp.
3.250% due 03/01/25

    150,000       145,307  

Amgen, Inc.

   

1.900% due 02/21/25

    250,000       236,918  

3.125% due 05/01/25

    750,000       727,718  

5.250% due 03/02/25

    70,000       70,805  

5.507% due 03/02/26

    625,000       627,694  

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium)
3.650% due 02/01/26

    1,100,000       1,080,343  

Astrazeneca Finance LLC (United Kingdom)
0.700% due 05/28/24

    200,000       191,118  

AstraZeneca PLC (United Kingdom)
3.375% due 11/16/25

    1,000,000       978,247  

Automatic Data Processing, Inc.
3.375% due 09/15/25

    250,000       245,230  

Avery Dennison Corp.
0.850% due 08/15/24

    250,000       236,383  

BAT Capital Corp. (United Kingdom)
2.789% due 09/06/24

    1,250,000       1,205,716  

BAT International Finance PLC (United Kingdom)
1.668% due 03/25/26

    750,000       682,968  

Baxalta, Inc.
4.000% due 06/23/25

    250,000       244,977  

Baxter International, Inc.
1.322% due 11/29/24

    600,000       564,932  

Becton Dickinson & Co.
3.734% due 12/15/24

    750,000       733,650  

Biogen, Inc.
4.050% due 09/15/25

    850,000       831,107  

Boston Scientific Corp.
1.900% due 06/01/25

    500,000       472,865  

Bristol-Myers Squibb Co.
2.900% due 07/26/24

    1,250,000       1,225,808  

Brown-Forman Corp.
3.500% due 04/15/25

    200,000       195,610  

Bunge Ltd. Finance Corp.
1.630% due 08/17/25

    250,000       231,434  

Campbell Soup Co.
3.950% due 03/15/25

    250,000       245,664  

Cardinal Health, Inc.
3.079% due 06/15/24

    500,000       488,882  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

183

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Cigna Group

 

1.250% due 03/15/26

    $250,000       $226,703  

3.250% due 04/15/25

    750,000       727,031  

3.500% due 06/15/24

    350,000       343,491  

4.125% due 11/15/25

    250,000       246,076  

4.500% due 02/25/26

    250,000       248,969  

5.685% due 03/15/26

    250,000       251,630  

Cintas Corp. No. 2
3.450% due 05/01/25

    250,000       244,092  

Colgate-Palmolive Co.

   

3.100% due 08/15/25

    50,000       48,757  

4.800% due 03/02/26

    145,000       148,253  

CommonSpirit Health
1.547% due 10/01/25

    500,000       460,964  

Conagra Brands, Inc.
4.600% due 11/01/25

    750,000       740,583  

Constellation Brands, Inc.

   

3.600% due 05/09/24

    50,000       49,368  

4.400% due 11/15/25

    500,000       493,524  

4.750% due 11/15/24

    150,000       149,914  

5.000% due 02/02/26

    85,000       85,036  

CVS Health Corp.

   

2.625% due 08/15/24

    1,500,000       1,454,690  

3.875% due 07/20/25

    250,000       245,624  

4.100% due 03/25/25

    250,000       247,984  

5.000% due 02/20/26

    705,000       713,280  

DH Europe Finance II SARL
2.200% due 11/15/24

    600,000       576,256  

Diageo Capital PLC (United Kingdom)
1.375% due 09/29/25

    750,000       693,428  

Elevance Health, Inc.

   

1.500% due 03/15/26

    500,000       456,516  

2.375% due 01/15/25

    250,000       239,441  

4.900% due 02/08/26

    1,070,000       1,069,077  

5.350% due 10/15/25

    145,000       146,360  

Eli Lilly & Co.
5.000% due 02/27/26

    110,000       111,022  

Equifax, Inc.

   

2.600% due 12/01/24

    250,000       239,003  

2.600% due 12/15/25

    250,000       233,251  

GE HealthCare Technologies, Inc.
5.600% due 11/15/25 ~

    1,000,000       1,012,655  

General Mills, Inc.

   

4.000% due 04/17/25

    500,000       493,496  

5.241% due 11/18/25

    80,000       80,255  

Gilead Sciences, Inc.

   

3.500% due 02/01/25

    1,350,000       1,323,708  

3.650% due 03/01/26

    500,000       489,708  

GlaxoSmithKline Capital, Inc. (United Kingdom)
3.625% due 05/15/25

    750,000       739,590  

Global Payments, Inc.

   

1.200% due 03/01/26

    350,000       311,566  

1.500% due 11/15/24

    460,000       433,533  

Haleon UK Capital PLC
3.125% due 03/24/25

    350,000       338,474  

HCA, Inc.

   

5.250% due 04/15/25

    350,000       350,001  

5.375% due 02/01/25

    1,000,000       1,001,063  

5.875% due 02/15/26

    1,000,000       1,015,352  

Hershey Co.
3.200% due 08/21/25

    500,000       485,491  

Humana, Inc.

   

3.850% due 10/01/24

    150,000       147,526  

5.700% due 03/13/26

    900,000       903,705  

Illumina, Inc.
5.800% due 12/12/25

    350,000       353,497  

J M Smucker Co.
3.500% due 03/15/25

    250,000       243,971  

Johnson & Johnson

   

0.550% due 09/01/25

    750,000       689,926  

2.450% due 03/01/26

    250,000       240,333  

2.625% due 01/15/25

    100,000       97,636  
   

Principal
Amount

   

Value

 

Keurig Dr Pepper, Inc.

   

3.400% due 11/15/25

    $250,000       $240,276  

4.417% due 05/25/25

    100,000       98,793  

Kroger Co.
3.500% due 02/01/26

    350,000       341,455  

Laboratory Corp. of America Holdings

   

3.250% due 09/01/24

    250,000       243,719  

3.600% due 02/01/25

    600,000       584,006  

McCormick & Co., Inc.
0.900% due 02/15/26

    600,000       537,939  

McKesson Corp.

   

0.900% due 12/03/25

    250,000       226,136  

5.250% due 02/15/26

    1,065,000       1,068,118  

Mead Johnson Nutrition Co. (United Kingdom)
4.125% due 11/15/25

    250,000       247,028  

Merck & Co., Inc.

   

0.750% due 02/24/26

    250,000       229,042  

2.750% due 02/10/25

    1,250,000       1,222,295  

Mondelez International, Inc.
1.500% due 05/04/25

    500,000       468,215  

Moody’s Corp.
3.750% due 03/24/25

    250,000       245,060  

Novartis Capital Corp. (Switzerland)

   

1.750% due 02/14/25

    250,000       238,565  

3.000% due 11/20/25

    1,250,000       1,211,292  

3.400% due 05/06/24

    250,000       246,881  

PayPal Holdings, Inc.

   

1.650% due 06/01/25

    750,000       704,365  

2.400% due 10/01/24

    185,000       179,278  

PeaceHealth Obligated Group
1.375% due 11/15/25

    250,000       227,688  

PepsiCo, Inc.

   

2.250% due 03/19/25

    1,000,000       965,552  

2.750% due 04/30/25

    250,000       242,241  

2.850% due 02/24/26

    500,000       484,190  

3.500% due 07/17/25

    250,000       246,636  

4.550% due 02/13/26

    195,000       198,501  

PerkinElmer, Inc.
0.850% due 09/15/24

    250,000       234,817  

Pfizer, Inc.
0.800% due 05/28/25

    1,000,000       927,994  

Philip Morris International, Inc.

   

1.500% due 05/01/25

    1,250,000       1,169,843  

3.375% due 08/11/25

    250,000       242,276  

4.875% due 02/13/26

    800,000       806,349  

5.000% due 11/17/25

    240,000       241,994  

Procter & Gamble Co.

   

0.550% due 10/29/25

    250,000       229,160  

2.700% due 02/02/26

    500,000       484,133  

4.100% due 01/26/26

    50,000       50,419  

Quanta Services, Inc.
0.950% due 10/01/24

    250,000       233,302  

Quest Diagnostics, Inc.
3.500% due 03/30/25

    250,000       242,410  

Reynolds American, Inc. (United Kingdom)
4.450% due 06/12/25

    350,000       343,866  

Shire Acquisitions Investments Ireland DAC
2.875% due 09/23/23

    140,000       138,311  

Stryker Corp.

   

1.150% due 06/15/25

    500,000       462,137  

3.375% due 11/01/25

    250,000       241,220  

3.500% due 03/15/26

    250,000       242,555  

Sysco Corp.
3.750% due 10/01/25

    250,000       243,482  

Thermo Fisher Scientific, Inc.
1.215% due 10/18/24

    1,000,000       949,531  

Tyson Foods, Inc.
3.950% due 08/15/24

    1,250,000       1,234,030  

Unilever Capital Corp. (United Kingdom)
0.626% due 08/12/24

    165,000       156,050  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

184

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

UnitedHealth Group, Inc.

 

0.550% due 05/15/24

    $165,000       $157,426  

3.100% due 03/15/26

    350,000       338,555  

3.750% due 07/15/25

    250,000       247,087  

5.000% due 10/15/24

    125,000       125,914  

5.150% due 10/15/25

    1,305,000       1,330,481  

Verisk Analytics, Inc.
4.000% due 06/15/25

    250,000       244,229  

Zimmer Biomet Holdings, Inc.

   

1.450% due 11/22/24

    180,000       170,205  

3.550% due 04/01/25

    750,000       727,783  

Zoetis, Inc.
5.400% due 11/14/25

    595,000       605,361  
   

 

 

 
      62,689,450  
   

 

 

 

Energy - 5.4%

 

Boardwalk Pipelines LP
4.950% due 12/15/24

    500,000       497,207  

BP Capital Markets America, Inc.

   

3.410% due 02/11/26

    750,000       731,273  

3.796% due 09/21/25

    250,000       248,152  

Canadian Natural Resources Ltd. (Canada)

   

2.050% due 07/15/25

    250,000       233,730  

3.900% due 02/01/25

    500,000       489,994  

Cheniere Corpus Christi Holdings LLC
5.875% due 03/31/25

    500,000       503,806  

Chevron Corp.

   

1.554% due 05/11/25

    1,000,000       943,432  

3.326% due 11/17/25

    250,000       245,367  

Chevron USA, Inc.

   

0.687% due 08/12/25

    250,000       229,549  

3.900% due 11/15/24

    350,000       348,894  

Columbia Pipeline Group, Inc.
4.500% due 06/01/25

    250,000       246,933  

ConocoPhillips Co.

   

2.400% due 03/07/25

    200,000       192,088  

3.350% due 11/15/24

    500,000       490,018  

Continental Resources, Inc.
3.800% due 06/01/24

    285,000       279,422  

Devon Energy Corp.
5.850% due 12/15/25

    500,000       508,327  

Enbridge, Inc. (Canada)

   

2.500% due 01/15/25

    250,000       239,656  

2.500% due 02/14/25

    540,000       517,406  

3.500% due 06/10/24

    250,000       244,806  

5.969% due 03/08/26

    180,000       180,556  

Energy Transfer LP

   

2.900% due 05/15/25

    250,000       238,375  

4.050% due 03/15/25

    500,000       490,639  

4.750% due 01/15/26

    750,000       741,180  

5.950% due 12/01/25

    250,000       254,112  

Enterprise Products Operating LLC

   

3.750% due 02/15/25

    200,000       196,223  

5.050% due 01/10/26

    555,000       563,001  

EOG Resources, Inc.
4.150% due 01/15/26

    250,000       247,730  

EQT Corp.

   

5.678% due 10/01/25

    60,000       59,884  

6.125% due 02/01/25

    500,000       503,474  

Exxon Mobil Corp.

   

2.709% due 03/06/25

    1,000,000       971,395  

2.992% due 03/19/25

    500,000       487,054  

3.043% due 03/01/26

    850,000       825,492  

Halliburton Co.
3.800% due 11/15/25

    250,000       245,094  

Hess Corp.
3.500% due 07/15/24

    250,000       244,338  

Kinder Morgan, Inc.
4.300% due 06/01/25

    1,100,000       1,083,930  

Marathon Petroleum Corp.
4.700% due 05/01/25

    750,000       748,874  

MPLX LP

   
   

Principal
Amount

   

Value

 

1.750% due 03/01/26

    $250,000       $228,291  

4.875% due 12/01/24

    500,000       497,102  

4.875% due 06/01/25

    500,000       496,610  

ONEOK, Inc.
2.200% due 09/15/25

    1,000,000       927,409  

Ovintiv Exploration, Inc.
5.375% due 01/01/26

    250,000       250,620  

Phillips 66
1.300% due 02/15/26

    500,000       453,038  

Pioneer Natural Resources Co.
5.100% due 03/29/26

    240,000       241,123  

Plains All American Pipeline LP/PAA Finance Corp.
3.600% due 11/01/24

    850,000       828,584  

Sabine Pass Liquefaction LLC
5.625% due 03/01/25

    1,150,000       1,157,763  

Shell International Finance BV (Netherlands)

   

2.000% due 11/07/24

    350,000       336,538  

3.250% due 05/11/25

    850,000       831,208  

TotalEnergies Capital International SA (France)
2.434% due 01/10/25

    350,000       338,516  

TransCanada PipeLines Ltd. (Canada)

   

1.000% due 10/12/24

    400,000       375,232  

6.203% due 03/09/26

    250,000       251,812  

Transcontinental Gas Pipe Line Co. LLC
7.850% due 02/01/26

    250,000       267,947  

Williams Cos., Inc.

   

3.900% due 01/15/25

    1,350,000       1,324,195  

5.400% due 03/02/26

    175,000       178,389  
   

 

 

 
      24,255,788  
   

 

 

 

Financial - 45.3%

 

AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)

   

1.650% due 10/29/24

    1,435,000       1,343,312  

1.750% due 10/29/24

    285,000       265,725  

3.500% due 01/15/25

    685,000       654,488  

6.500% due 07/15/25

    250,000       252,012  

Air Lease Corp.

   

0.800% due 08/18/24

    85,000       79,323  

2.300% due 02/01/25

    650,000       615,734  

2.875% due 01/15/26

    750,000       699,816  

3.375% due 07/01/25

    250,000       238,380  

Aircastle Ltd.
4.125% due 05/01/24

    10,000       9,796  

Alexandria Real Estate Equities, Inc. REIT
3.450% due 04/30/25

    250,000       240,113  

Allied World Assurance Co. Holdings Ltd.
4.350% due 10/29/25

    250,000       242,519  

Allstate Corp.
0.750% due 12/15/25

    250,000       224,715  

Ally Financial, Inc.

   

5.125% due 09/30/24

    350,000       338,923  

5.800% due 05/01/25

    250,000       241,589  

American Express Co.

   

2.250% due 03/04/25

    160,000       152,506  

3.000% due 10/30/24

    250,000       242,193  

3.375% due 05/03/24

    1,525,000       1,495,508  

3.950% due 08/01/25

    2,250,000       2,207,731  

4.900% due 02/13/26

    45,000       45,451  

American International Group, Inc.
2.500% due 06/30/25

    583,000       551,866  

American Tower Corp. REIT

   

1.300% due 09/15/25

    250,000       228,991  

3.375% due 05/15/24

    400,000       391,698  

4.400% due 02/15/26

    500,000       493,198  

Ameriprise Financial, Inc.

   

3.000% due 04/02/25

    250,000       240,616  

3.700% due 10/15/24

    250,000       244,792  

Aon Global Ltd.
3.875% due 12/15/25

    1,250,000       1,220,119  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

185

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Ares Capital Corp.

   

3.250% due 07/15/25

    $250,000       $228,634  

4.200% due 06/10/24

    1,000,000       967,013  

4.250% due 03/01/25

    500,000       472,857  

Australia & New Zealand Banking Group Ltd. (Australia)

   

3.700% due 11/16/25

    250,000       243,904  

5.088% due 12/08/25

    250,000       252,168  

AvalonBay Communities, Inc. REIT
3.500% due 11/15/24

    250,000       241,654  

Banco Bilbao Vizcaya Argentaria SA (Spain)

   

1.125% due 09/18/25

    250,000       225,370  

5.862% due 09/14/26

    200,000       198,418  

Banco Santander SA (Spain)

   

1.849% due 03/25/26

    200,000       179,590  

2.746% due 05/28/25

    250,000       235,975  

3.496% due 03/24/25

    1,200,000       1,155,208  

3.892% due 05/24/24

    200,000       195,664  

5.147% due 08/18/25

    1,310,000       1,287,088  

Bank of America Corp.

   

0.976% due 04/22/25

    1,250,000       1,191,486  

0.981% due 09/25/25

    1,500,000       1,400,633  

1.319% due 06/19/26

    3,700,000       3,384,951  

1.530% due 12/06/25

    350,000       327,486  

2.456% due 10/22/25

    500,000       476,315  

3.366% due 01/23/26

    2,750,000       2,646,864  

3.384% due 04/02/26

    350,000       335,817  

3.841% due 04/25/25

    500,000       491,070  

3.875% due 08/01/25

    500,000       489,042  

4.000% due 01/22/25

    1,000,000       977,748  

4.200% due 08/26/24

    250,000       245,772  

4.450% due 03/03/26

    1,000,000       977,448  

4.827% due 07/22/26

    2,150,000       2,126,941  

5.080% due 01/20/27

    200,000       199,528  

Bank of Montreal (Canada)

   

0.625% due 07/09/24

    285,000       269,570  

0.949% due 01/22/27

    500,000       446,964  

1.500% due 01/10/25

    145,000       136,431  

1.850% due 05/01/25

    250,000       234,242  

3.700% due 06/07/25

    1,610,000       1,564,862  

4.250% due 09/14/24

    150,000       148,225  

5.200% due 12/12/24

    900,000       901,557  

Bank of New York Mellon Corp.

   

0.500% due 04/26/24

    250,000       237,906  

0.850% due 10/25/24

    200,000       186,561  

3.350% due 04/25/25

    200,000       192,765  

3.430% due 06/13/25

    1,200,000       1,172,564  

4.414% due 07/24/26

    1,490,000       1,470,974  

Bank of Nova Scotia (Canada)

   

0.650% due 07/31/24

    2,135,000       2,013,466  

0.700% due 04/15/24

    250,000       238,541  

1.450% due 01/10/25

    190,000       178,206  

3.450% due 04/11/25

    1,120,000       1,086,874  

4.500% due 12/16/25

    250,000       245,291  

4.750% due 02/02/26

    580,000       577,791  

5.250% due 12/06/24

    165,000       165,456  

Barclays PLC (United Kingdom)

   

2.852% due 05/07/26

    1,500,000       1,402,028  

3.650% due 03/16/25

    250,000       239,164  

3.932% due 05/07/25

    750,000       729,993  

4.375% due 09/11/24

    1,500,000       1,446,164  

4.375% due 01/12/26

    250,000       241,541  

7.325% due 11/02/26

    250,000       256,259  

Berkshire Hathaway, Inc.
3.125% due 03/15/26

    750,000       730,961  

Blackstone Private Credit Fund

   

2.350% due 11/22/24

    200,000       186,084  

2.700% due 01/15/25

    115,000       105,988  

4.700% due 03/24/25

    200,000       191,783  

7.050% due 09/29/25 ~

    600,000       592,383  

BNP Paribas SA (France)
4.250% due 10/15/24

    250,000       242,143  
   

Principal
Amount

   

Value

 

Boston Properties LP REIT

 

3.200% due 01/15/25

    $350,000       $325,000  

3.650% due 02/01/26

    500,000       457,464  

BPCE SA (France)
4.000% due 04/15/24

    350,000       342,384  

Brandywine Operating Partnership LP REIT
4.100% due 10/01/24

    250,000       230,704  

Brixmor Operating Partnership LP REIT
3.850% due 02/01/25

    150,000       144,029  

Brookfield Corp. (Canada)
4.000% due 01/15/25

    350,000       343,832  

Canadian Imperial Bank of Commerce (Canada)

   

0.950% due 10/23/25

    250,000       226,445  

1.000% due 10/18/24

    150,000       140,860  

2.250% due 01/28/25

    750,000       713,170  

3.300% due 04/07/25

    35,000       33,904  

3.945% due 08/04/25

    700,000       680,695  

Capital One Financial Corp.

   

2.636% due 03/03/26

    435,000       403,348  

3.200% due 02/05/25

    500,000       470,275  

3.300% due 10/30/24

    750,000       716,473  

4.166% due 05/09/25

    150,000       145,382  

4.200% due 10/29/25

    1,000,000       933,170  

4.985% due 07/24/26

    150,000       144,716  

Capital One NA
2.280% due 01/28/26

    750,000       691,907  

Charles Schwab Corp.

   

0.900% due 03/11/26

    1,000,000       877,952  

3.625% due 04/01/25

    200,000       192,354  

3.850% due 05/21/25

    250,000       240,673  

Chubb INA Holdings, Inc.

   

3.150% due 03/15/25

    400,000       390,551  

3.350% due 05/15/24

    250,000       245,998  

Citigroup, Inc.

   

0.981% due 05/01/25

    850,000       807,913  

1.122% due 01/28/27

    2,500,000       2,230,316  

1.281% due 11/03/25

    650,000       607,645  

3.106% due 04/08/26

    500,000       478,357  

3.290% due 03/17/26

    2,750,000       2,637,399  

3.300% due 04/27/25

    2,000,000       1,931,172  

3.352% due 04/24/25

    250,000       243,760  

4.140% due 05/24/25

    160,000       157,233  

4.400% due 06/10/25

    1,000,000       975,518  

5.610% due 09/29/26

    750,000       756,100  

Citizens Bank NA
6.064% due 10/24/25

    250,000       235,415  

CME Group, Inc.
3.000% due 03/15/25

    150,000       145,469  

CNA Financial Corp.
4.500% due 03/01/26

    350,000       346,791  

CNO Financial Group, Inc.
5.250% due 05/30/25

    250,000       247,586  

Commonwealth Bank of Australia (Australia)
5.316% due 03/13/26

    500,000       508,793  

Cooperatieve Rabobank UA (Netherlands)

   

1.375% due 01/10/25

    100,000       94,001  

3.875% due 08/22/24

    835,000       822,602  

4.375% due 08/04/25

    1,000,000       968,101  

Corebridge Financial, Inc.
3.500% due 04/04/25 ~

    500,000       480,694  

Credit Suisse AG (Switzerland)

   

3.625% due 09/09/24

    250,000       238,192  

3.700% due 02/21/25

    1,875,000       1,782,056  

4.750% due 08/09/24

    750,000       727,725  

Credit Suisse Group AG (Switzerland)
3.750% due 03/26/25

    250,000       230,617  

Crown Castle, Inc. REIT

   

3.200% due 09/01/24

    250,000       242,947  

4.450% due 02/15/26

    500,000       493,775  

Deutsche Bank AG (Germany)

   

0.898% due 05/28/24

    1,650,000       1,549,769  

1.447% due 04/01/25

    250,000       232,677  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

186

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

3.700% due 05/30/24

    $750,000       $712,300  

3.961% due 11/26/25

    250,000       236,694  

4.162% due 05/13/25

    1,000,000       954,757  

6.119% due 07/14/26

    165,000       159,894  

Discover Financial Services

   

3.950% due 11/06/24

    1,000,000       954,272  

4.500% due 01/30/26

    250,000       241,318  

EPR Properties REIT
4.500% due 04/01/25

    200,000       193,254  

Equinix, Inc. REIT

   

1.000% due 09/15/25

    350,000       317,141  

2.625% due 11/18/24

    500,000       481,529  

Fifth Third Bancorp
2.375% due 01/28/25

    250,000       232,758  

Fifth Third Bank NA

   

3.950% due 07/28/25

    500,000       470,973  

5.852% due 10/27/25

    320,000       315,640  

First-Citizens Bank & Trust Co.
2.969% due 09/27/25

    500,000       454,633  

FS KKR Capital Corp.

   

1.650% due 10/12/24

    200,000       184,075  

4.125% due 02/01/25

    500,000       473,393  

4.625% due 07/15/24

    250,000       241,930  

GLP Capital LP/GLP Financing II, Inc. REIT
5.250% due 06/01/25

    350,000       342,131  

Goldman Sachs BDC, Inc.
3.750% due 02/10/25

    250,000       237,638  

Goldman Sachs Group, Inc.

   

0.855% due 02/12/26

    2,000,000       1,832,081  

1.093% due 12/09/26

    250,000       224,060  

3.272% due 09/29/25

    1,500,000       1,456,126  

3.500% due 04/01/25

    350,000       340,045  

3.750% due 05/22/25

    500,000       485,851  

3.750% due 02/25/26

    250,000       243,207  

3.850% due 07/08/24

    500,000       490,267  

4.250% due 10/21/25

    250,000       242,797  

5.700% due 11/01/24

    3,885,000       3,914,780  

Host Hotels & Resorts LP REIT
4.000% due 06/15/25

    250,000       239,992  

HSBC Holdings PLC (United Kingdom)

   

1.645% due 04/18/26

    1,850,000       1,690,863  

2.099% due 06/04/26

    250,000       229,765  

2.633% due 11/07/25

    1,850,000       1,751,656  

2.999% due 03/10/26

    200,000       188,797  

4.180% due 12/09/25

    2,500,000       2,429,936  

4.250% due 08/18/25

    250,000       237,979  

4.292% due 09/12/26

    500,000       479,203  

7.336% due 11/03/26

    200,000       207,710  

HSBC USA, Inc.

   

3.750% due 05/24/24

    200,000       195,117  

5.625% due 03/17/25

    250,000       250,689  

Huntington National Bank
4.008% due 05/16/25

    1,000,000       958,161  

ING Groep NV (Netherlands)

   

3.550% due 04/09/24

    250,000       244,795  

3.869% due 03/28/26

    750,000       725,834  

Intercontinental Exchange, Inc.

   

3.650% due 05/23/25

    95,000       92,958  

3.750% due 12/01/25

    1,000,000       970,862  

JPMorgan Chase & Co.

   

0.768% due 08/09/25

    315,000       295,944  

0.824% due 06/01/25

    2,755,000       2,612,134  

0.969% due 06/23/25

    750,000       710,902  

1.045% due 11/19/26

    2,250,000       2,009,764  

1.561% due 12/10/25

    250,000       234,622  

2.083% due 04/22/26

    2,300,000       2,153,379  

2.301% due 10/15/25

    250,000       239,192  

2.595% due 02/24/26

    500,000       474,164  

3.845% due 06/14/25

    400,000       392,449  

3.960% due 01/29/27

    500,000       485,963  

4.080% due 04/26/26

    350,000       343,829  

5.546% due 12/15/25

    4,500,000       4,533,255  
   

Principal
Amount

   

Value

 

7.750% due 07/15/25

    $250,000       $264,228  

KeyBank NA

   

4.150% due 08/08/25

    250,000       236,590  

4.700% due 01/26/26

    1,000,000       960,714  

KeyCorp
3.878% due 05/23/25

    45,000       43,399  

Kilroy Realty LP REIT
3.450% due 12/15/24

    750,000       675,012  

Kimco Realty OP LLC REIT
3.300% due 02/01/25

    150,000       144,346  

Lazard Group LLC
3.750% due 02/13/25

    250,000       243,319  

Lloyds Banking Group PLC (United Kingdom)

   

3.511% due 03/18/26

    200,000       190,464  

3.870% due 07/09/25

    1,750,000       1,701,938  

4.450% due 05/08/25

    250,000       243,356  

4.500% due 11/04/24

    250,000       242,448  

4.650% due 03/24/26

    350,000       332,624  

4.716% due 08/11/26

    200,000       194,871  

Main Street Capital Corp.
5.200% due 05/01/24

    250,000       244,699  

Manufacturers & Traders Trust Co.

   

4.650% due 01/27/26

    250,000       235,632  

5.400% due 11/21/25

    250,000       241,658  

Manulife Financial Corp. (Canada)
4.150% due 03/04/26

    250,000       246,272  

Marsh & McLennan Cos., Inc.
3.500% due 03/10/25

    250,000       243,683  

Mastercard, Inc.
2.000% due 03/03/25

    750,000       718,069  

MetLife, Inc.
3.600% due 11/13/25

    500,000       489,587  

Mid-America Apartments LP REIT
3.750% due 06/15/24

    250,000       245,727  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

0.962% due 10/11/25

    350,000       326,180  

1.412% due 07/17/25

    1,750,000       1,605,846  

2.193% due 02/25/25

    250,000       235,696  

2.801% due 07/18/24

    500,000       482,583  

4.788% due 07/18/25

    200,000       198,142  

5.063% due 09/12/25

    1,200,000       1,192,460  

5.719% due 02/20/26

    1,500,000       1,504,900  

Mizuho Financial Group, Inc. (Japan)

   

2.555% due 09/13/25

    1,000,000       955,198  

2.651% due 05/22/26

    350,000       330,058  

Morgan Stanley

   

0.790% due 05/30/25

    2,000,000       1,894,081  

0.864% due 10/21/25

    1,500,000       1,392,337  

0.985% due 12/10/26

    250,000       223,031  

1.164% due 10/21/25

    2,555,000       2,387,624  

2.188% due 04/28/26

    1,000,000       938,779  

3.620% due 04/17/25

    300,000       294,655  

3.875% due 01/27/26

    500,000       488,287  

4.000% due 07/23/25

    4,250,000       4,162,815  

4.679% due 07/17/26

    345,000       340,766  

5.050% due 01/28/27

    300,000       299,399  

6.138% due 10/16/26

    750,000       764,825  

National Australia Bank Ltd. (Australia)

   

3.375% due 01/14/26

    1,000,000       968,037  

4.966% due 01/12/26

    250,000       252,459  

5.132% due 11/22/24

    250,000       251,734  

National Bank of Canada (Canada)
5.250% due 01/17/25

    800,000       799,188  

Natwest Group PLC (United Kingdom)

   

5.847% due 03/02/27

    500,000       501,747  

7.472% due 11/10/26

    750,000       775,797  

Nomura Holdings, Inc. (Japan)

   

1.851% due 07/16/25

    250,000       228,960  

2.648% due 01/16/25

    850,000       805,813  

5.709% due 01/09/26

    500,000       501,817  

Northern Trust Corp.
3.950% due 10/30/25

    250,000       239,565  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

187

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Oaktree Specialty Lending Corp.
3.500% due 02/25/25

    $150,000       $142,708  

Old Republic International Corp.
4.875% due 10/01/24

    150,000       148,079  

Omega Healthcare Investors, Inc. REIT
4.500% due 01/15/25

    400,000       383,578  

Owl Rock Capital Corp.

   

4.000% due 03/30/25

    350,000       326,643  

5.250% due 04/15/24

    350,000       340,746  

PNC Bank NA

   

2.500% due 08/27/24

    2,000,000       1,922,214  

3.875% due 04/10/25

    250,000       241,893  

PNC Financial Services Group, Inc.

   

4.758% due 01/26/27

    90,000       88,954  

5.671% due 10/28/25

    200,000       200,248  

Prudential Financial, Inc.
1.500% due 03/10/26

    500,000       456,431  

Radian Group, Inc.
6.625% due 03/15/25

    250,000       249,180  

Realty Income Corp.
5.050% due 01/13/26

    1,045,000       1,042,006  

Realty Income Corp. REIT
3.875% due 04/15/25

    200,000       195,063  

Royal Bank of Canada (Canada)

   

0.650% due 07/29/24

    200,000       188,991  

0.750% due 10/07/24

    500,000       468,949  

1.150% due 06/10/25

    250,000       230,135  

1.600% due 01/21/25

    2,650,000       2,499,265  

3.375% due 04/14/25

    250,000       242,711  

3.970% due 07/26/24

    150,000       148,027  

4.650% due 01/27/26

    1,000,000       985,810  

4.875% due 01/12/26

    200,000       200,478  

Santander Holdings USA, Inc.

   

3.500% due 06/07/24

    500,000       485,525  

4.260% due 06/09/25

    150,000       144,945  

4.500% due 07/17/25

    250,000       239,026  

5.807% due 09/09/26

    60,000       59,020  

Santander UK Group Holdings PLC (United Kingdom)

   

1.532% due 08/21/26

    750,000       669,760  

6.833% due 11/21/26

    700,000       709,667  

Simon Property Group LP REIT

   

3.375% due 10/01/24

    350,000       341,959  

3.500% due 09/01/25

    750,000       723,774  

SITE Centers Corp. REIT
3.625% due 02/01/25

    250,000       236,745  

Sixth Street Specialty Lending, Inc.
3.875% due 11/01/24

    350,000       334,037  

Sumitomo Mitsui Banking Corp. (Japan)
3.400% due 07/11/24

    250,000       245,427  

Sumitomo Mitsui Financial Group, Inc. (Japan)

   

1.474% due 07/08/25

    1,000,000       916,339  

2.448% due 09/27/24

    350,000       335,612  

3.784% due 03/09/26

    250,000       241,978  

5.464% due 01/13/26

    1,785,000       1,803,223  

Synchrony Bank
5.400% due 08/22/25

    250,000       234,701  

Synchrony Financial

   

4.250% due 08/15/24

    750,000       709,394  

4.875% due 06/13/25

    130,000       120,474  

Toronto-Dominion Bank (Canada)

   

0.750% due 09/11/25

    250,000       225,488  

1.150% due 06/12/25

    250,000       230,227  

1.250% due 12/13/24

    130,000       122,105  

2.650% due 06/12/24

    1,500,000       1,458,610  

4.285% due 09/13/24

    2,700,000       2,669,858  

5.103% due 01/09/26

    200,000       201,350  

Truist Bank

   

2.150% due 12/06/24

    400,000       377,077  

2.636% due 09/17/29

    1,500,000       1,409,167  

3.625% due 09/16/25

    250,000       238,652  

Truist Financial Corp.

   

1.200% due 08/05/25

    250,000       224,975  
   

Principal
Amount

   

Value

 

1.267% due 03/02/27

    $250,000       $220,446  

2.500% due 08/01/24

    250,000       239,085  

3.700% due 06/05/25

    350,000       333,866  

4.260% due 07/28/26

    1,200,000       1,157,873  

5.900% due 10/28/26

    110,000       109,772  

US Bancorp

   

3.600% due 09/11/24

    2,000,000       1,935,787  

5.727% due 10/21/26

    95,000       95,500  

US Bank NA

   

2.050% due 01/21/25

    500,000       471,387  

2.800% due 01/27/25

    350,000       335,165  

Ventas Realty LP REIT

   

2.650% due 01/15/25

    350,000       333,760  

4.125% due 01/15/26

    500,000       485,442  

Visa, Inc.
3.150% due 12/14/25

    1,500,000       1,458,202  

Vornado Realty LP REIT
3.500% due 01/15/25

    250,000       226,168  

Wells Fargo & Co.

   

0.805% due 05/19/25

    310,000       294,507  

2.164% due 02/11/26

    2,000,000       1,882,710  

2.188% due 04/30/26

    250,000       234,465  

2.406% due 10/30/25

    750,000       713,176  

3.000% due 02/19/25

    500,000       481,877  

3.550% due 09/29/25

    1,750,000       1,683,901  

3.908% due 04/25/26

    295,000       286,549  

4.540% due 08/15/26

    1,650,000       1,621,116  

Welltower OP LLC REIT
4.000% due 06/01/25

    500,000       485,936  

Western Union Co.
2.850% due 01/10/25

    250,000       238,754  

Westpac Banking Corp. (Australia)

   

1.019% due 11/18/24

    135,000       126,987  

2.350% due 02/19/25

    600,000       575,756  

2.894% due 02/04/30

    1,500,000       1,407,617  

3.735% due 08/26/25

    250,000       244,721  

5.350% due 10/18/24

    500,000       503,743  

Willis North America, Inc.
3.600% due 05/15/24

    150,000       147,867  

WP Carey, Inc. REIT
4.000% due 02/01/25

    500,000       484,654  
   

 

 

 
      201,735,290  
   

 

 

 

Industrial - 6.9%

 

3M Co.

   

2.000% due 02/14/25

    250,000       238,261  

3.000% due 08/07/25

    500,000       480,975  

Amcor Flexibles North America, Inc.
4.000% due 05/17/25

    350,000       342,957  

Amphenol Corp.
4.750% due 03/30/26

    255,000       256,177  

Arrow Electronics, Inc.

   

3.250% due 09/08/24

    350,000       340,191  

6.125% due 03/01/26

    100,000       100,262  

Berry Global, Inc.
1.570% due 01/15/26

    250,000       227,123  

Boeing Co.

   

2.196% due 02/04/26

    2,500,000       2,320,641  

2.850% due 10/30/24

    150,000       144,929  

4.875% due 05/01/25

    1,500,000       1,497,687  

Burlington Northern Santa Fe LLC

   

3.000% due 04/01/25

    350,000       340,215  

7.000% due 12/15/25

    250,000       265,320  

Canadian Pacific Railway Co. (Canada)

   

1.350% due 12/02/24

    725,000       683,379  

2.900% due 02/01/25

    150,000       144,545  

Carlisle Cos., Inc.
3.500% due 12/01/24

    150,000       146,718  

Carrier Global Corp.
2.242% due 02/15/25

    350,000       334,138  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

188

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Caterpillar Financial Services Corp.

   

0.450% due 05/17/24

    $150,000       $143,223  

0.600% due 09/13/24

    300,000       283,712  

0.800% due 11/13/25

    250,000       228,229  

3.400% due 05/13/25

    1,250,000       1,225,017  

3.650% due 08/12/25

    200,000       196,482  

4.800% due 01/06/26

    1,625,000       1,652,532  

4.900% due 01/17/25

    200,000       201,236  

5.400% due 03/10/25

    200,000       203,829  

CNH Industrial Capital LLC

   

1.875% due 01/15/26

    250,000       230,524  

3.950% due 05/23/25

    95,000       92,579  

5.450% due 10/14/25

    65,000       65,776  

CSX Corp.
3.400% due 08/01/24

    250,000       244,605  

Flex Ltd.
3.750% due 02/01/26

    600,000       576,492  

General Dynamics Corp.

   

3.250% due 04/01/25

    600,000       584,198  

3.500% due 05/15/25

    250,000       245,244  

Hexcel Corp.
4.950% due 08/15/25

    250,000       245,445  

Honeywell International, Inc.

   

1.350% due 06/01/25

    850,000       798,042  

4.850% due 11/01/24

    100,000       100,702  

John Deere Capital Corp.

   

0.450% due 06/07/24

    165,000       157,174  

0.625% due 09/10/24

    70,000       66,286  

1.250% due 01/10/25

    120,000       113,671  

2.050% due 01/09/25

    1,000,000       963,239  

2.125% due 03/07/25

    65,000       62,098  

2.650% due 06/24/24

    500,000       487,647  

3.400% due 06/06/25

    555,000       544,069  

3.450% due 03/13/25

    150,000       147,628  

4.550% due 10/11/24

    110,000       110,075  

4.800% due 01/09/26

    165,000       167,608  

5.050% due 03/03/26

    600,000       610,568  

5.150% due 03/03/25

    100,000       101,311  

Johnson Controls International PLC
3.625% due 07/02/24

    500,000       491,878  

Keysight Technologies, Inc.
4.550% due 10/30/24

    250,000       247,463  

L3Harris Technologies, Inc.
3.832% due 04/27/25

    500,000       487,229  

Legrand France SA (France)
8.500% due 02/15/25

    100,000       107,121  

Lennox International, Inc.
1.350% due 08/01/25

    250,000       229,191  

Lockheed Martin Corp.
3.550% due 01/15/26

    500,000       495,479  

Northrop Grumman Corp.
2.930% due 01/15/25

    100,000       96,876  

Otis Worldwide Corp.
2.056% due 04/05/25

    500,000       472,187  

Owens Corning
4.200% due 12/01/24

    150,000       148,541  

Packaging Corp. of America
3.650% due 09/15/24

    100,000       98,409  

Parker-Hannifin Corp.
3.650% due 06/15/24

    715,000       704,478  

Raytheon Technologies Corp.

   

3.950% due 08/16/25

    250,000       247,215  

5.000% due 02/27/26

    805,000       817,596  

Regal Rexnord Corp.
6.050% due 02/15/26 ~

    500,000       502,710  

Republic Services, Inc.

   

0.875% due 11/15/25

    500,000       451,473  

2.500% due 08/15/24

    350,000       339,168  

Ryder System, Inc.

   

3.350% due 09/01/25

    250,000       238,824  

4.625% due 06/01/25

    500,000       493,514  

Stanley Black & Decker, Inc.

   

3.400% due 03/01/26

    250,000       239,538  
   

Principal
Amount

   

Value

 

6.272% due 03/06/26

    $750,000       $759,103  

TD SYNNEX Corp.
1.250% due 08/09/24

    250,000       234,043  

Teledyne Technologies, Inc.
0.950% due 04/01/24

    200,000       191,759  

Trane Technologies Luxembourg Finance SA
3.500% due 03/21/26

    250,000       242,717  

Tyco Electronics Group SA (Switzerland)
4.500% due 02/13/26

    620,000       621,522  

Union Pacific Corp.

   

2.750% due 03/01/26

    750,000       716,286  

3.250% due 08/15/25

    250,000       243,016  

4.750% due 02/21/26

    65,000       65,822  

United Parcel Service, Inc.
3.900% due 04/01/25

    750,000       740,904  

Vulcan Materials Co.
5.800% due 03/01/26

    165,000       166,592  

Waste Management, Inc.
0.750% due 11/15/25

    500,000       455,108  

WRKCo, Inc.

   

3.750% due 03/15/25

    250,000       242,656  

4.650% due 03/15/26

    250,000       247,734  
   

 

 

 
      30,548,911  
   

 

 

 

Technology - 7.1%

 

Adobe, Inc.
3.250% due 02/01/25

    250,000       245,123  

Analog Devices, Inc.
2.950% due 04/01/25

    200,000       193,374  

Apple, Inc.

   

0.550% due 08/20/25

    350,000       322,603  

1.125% due 05/11/25

    2,500,000       2,347,321  

2.500% due 02/09/25

    1,350,000       1,309,554  

2.750% due 01/13/25

    500,000       487,210  

3.200% due 05/13/25

    350,000       343,442  

3.250% due 02/23/26

    500,000       489,382  

3.450% due 05/06/24

    1,500,000       1,482,871  

Applied Materials, Inc.
3.900% due 10/01/25

    250,000       246,962  

Broadcom, Inc.
3.150% due 11/15/25

    500,000       478,649  

CDW LLC/CDW Finance Corp.
4.125% due 05/01/25

    250,000       242,800  

Dell International LLC/EMC Corp.

   

4.000% due 07/15/24

    500,000       493,411  

5.850% due 07/15/25

    500,000       508,427  

Fidelity National Information Services, Inc.

   

1.150% due 03/01/26

    500,000       445,334  

4.500% due 07/15/25

    110,000       108,838  

Fiserv, Inc.

   

2.750% due 07/01/24

    350,000       339,694  

3.850% due 06/01/25

    750,000       734,797  

Genpact Luxembourg SARL
3.375% due 12/01/24

    250,000       242,434  

Hewlett Packard Enterprise Co.

   

4.900% due 10/15/25

    1,100,000       1,098,708  

6.102% due 04/01/26

    250,000       252,344  

HP, Inc.
2.200% due 06/17/25

    500,000       471,467  

Intel Corp.

   

3.400% due 03/25/25

    1,750,000       1,720,007  

4.875% due 02/10/26

    920,000       932,120  

International Business Machines Corp.

   

3.000% due 05/15/24

    1,300,000       1,276,247  

4.000% due 07/27/25

    900,000       890,255  

4.500% due 02/06/26

    250,000       249,663  

7.000% due 10/30/25

    250,000       265,117  

Intuit, Inc.
0.950% due 07/15/25

    250,000       231,013  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

189

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

KLA Corp.
4.650% due 11/01/24

    $250,000       $249,509  

Lam Research Corp.

   

3.750% due 03/15/26

    250,000       245,940  

3.800% due 03/15/25

    250,000       245,830  

Microchip Technology, Inc.
4.250% due 09/01/25

    350,000       344,764  

Micron Technology, Inc.
4.975% due 02/06/26

    350,000       349,371  

Microsoft Corp.

   

2.700% due 02/12/25

    250,000       243,636  

3.125% due 11/03/25

    1,500,000       1,463,573  

NetApp, Inc.
1.875% due 06/22/25

    600,000       559,753  

NVIDIA Corp.
0.584% due 06/14/24

    750,000       716,346  

NXP BV/NXP Funding LLC (China)
5.350% due 03/01/26

    750,000       752,428  

Oracle Corp.

   

1.650% due 03/25/26

    500,000       459,563  

2.500% due 04/01/25

    350,000       335,239  

2.950% due 11/15/24

    1,950,000       1,894,597  

2.950% due 05/15/25

    500,000       481,546  

5.800% due 11/10/25

    1,070,000       1,097,207  

QUALCOMM, Inc.
3.450% due 05/20/25

    750,000       736,467  

Roper Technologies, Inc.
1.000% due 09/15/25

    250,000       228,737  

Salesforce, Inc.
0.625% due 07/15/24

    345,000       327,785  

Take-Two Interactive Software, Inc.
3.550% due 04/14/25

    500,000       487,212  

Texas Instruments, Inc.

   

1.375% due 03/12/25

    150,000       141,690  

4.700% due 11/18/24

    50,000       50,466  

VMware, Inc.

   

1.000% due 08/15/24

    155,000       146,332  

4.500% due 05/15/25

    750,000       740,894  

Western Digital Corp.
4.750% due 02/15/26

    500,000       480,370  

Xilinx, Inc.
2.950% due 06/01/24

    350,000       341,968  
   

 

 

 
      31,570,390  
   

 

 

 

Utilities - 4.8%

 

Ameren Corp.
2.500% due 09/15/24

    500,000       480,523  

Appalachian Power Co.
3.400% due 06/01/25

    500,000       484,588  

Avangrid, Inc.

   

3.150% due 12/01/24

    250,000       242,465  

3.200% due 04/15/25

    350,000       335,236  

Berkshire Hathaway Energy Co.

   

3.500% due 02/01/25

    250,000       245,862  

4.050% due 04/15/25

    200,000       199,035  

Black Hills Corp.
1.037% due 08/23/24

    135,000       127,108  

Constellation Energy Generation LLC
3.250% due 06/01/25

    250,000       241,169  

Dominion Energy, Inc.

   

3.071% due 08/15/24

    750,000       727,918  

3.300% due 03/15/25

    150,000       144,908  

DTE Energy Co.

   

1.050% due 06/01/25

    1,250,000       1,149,477  

4.220% due 11/01/24

    150,000       148,406  

Duke Energy Corp.

   

0.900% due 09/15/25

    750,000       683,130  

3.750% due 04/15/24

    250,000       247,177  

5.000% due 12/08/25

    90,000       90,675  

Eastern Energy Gas Holdings LLC
2.500% due 11/15/24

    750,000       723,022  
   

Principal
Amount

   

Value

 

Edison International
4.700% due 08/15/25

    $100,000       $98,688  

Emera US Finance LP (Canada)
0.833% due 06/15/24

    350,000       329,878  

Entergy Corp.
0.900% due 09/15/25

    350,000       315,366  

Entergy Louisiana LLC

   

0.950% due 10/01/24

    145,000       136,675  

5.400% due 11/01/24

    750,000       755,465  

Evergy, Inc.
2.450% due 09/15/24

    500,000       479,255  

Eversource Energy

   

0.800% due 08/15/25

    250,000       227,495  

2.900% due 10/01/24

    500,000       482,460  

4.200% due 06/27/24

    110,000       108,989  

Exelon Corp.
3.950% due 06/15/25

    250,000       244,408  

Florida Power & Light Co.
2.850% due 04/01/25

    350,000       339,513  

Iberdrola International BV (Spain)
5.810% due 03/15/25

    250,000       254,931  

ITC Holdings Corp.
3.650% due 06/15/24

    350,000       343,337  

National Fuel Gas Co.
5.200% due 07/15/25

    250,000       249,974  

National Rural Utilities Cooperative Finance Corp.

   

1.000% due 10/18/24

    315,000       296,611  

1.875% due 02/07/25

    200,000       189,791  

4.450% due 03/13/26

    565,000       564,396  

5.450% due 10/30/25

    100,000       101,928  

NextEra Energy Capital Holdings, Inc.

   

4.255% due 09/01/24

    150,000       148,678  

4.450% due 06/20/25

    1,370,000       1,361,583  

6.051% due 03/01/25

    1,340,000       1,363,879  

NiSource, Inc.
0.950% due 08/15/25

    750,000       682,799  

Oncor Electric Delivery Co. LLC
2.950% due 04/01/25

    750,000       725,275  

Pacific Gas and Electric Co.

   

2.950% due 03/01/26

    250,000       232,811  

3.150% due 01/01/26

    250,000       233,489  

3.400% due 08/15/24

    750,000       729,125  

4.950% due 06/08/25

    50,000       49,445  

Pinnacle West Capital Corp.
1.300% due 06/15/25

    250,000       230,531  

Public Service Enterprise Group, Inc.
2.875% due 06/15/24

    500,000       486,580  

Puget Energy, Inc.
3.650% due 05/15/25

    250,000       241,647  

Sempra Energy
3.300% due 04/01/25

    245,000       237,273  

Southern California Edison Co.

   

0.975% due 08/01/24

    525,000       496,973  

1.200% due 02/01/26

    750,000       675,582  

4.200% due 06/01/25

    65,000       64,262  

Southern California Gas Co.
3.200% due 06/15/25

    250,000       242,779  

Southern Co.
4.475% due 08/01/24

    165,000       163,107  

Southern Power Co.
0.900% due 01/15/26

    250,000       225,455  

Virginia Electric & Power Co.
3.150% due 01/15/26

    500,000       484,224  

WEC Energy Group, Inc.

   

4.750% due 01/09/26

    135,000       135,140  

5.000% due 09/27/25

    530,000       530,551  
   

 

 

 
      21,531,047  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $443,755,616)

      438,825,368  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

190

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

SHORT-TERM INVESTMENT - 2.0%

 

Money Market Funds - 2.0%

 

BlackRock Liquidity Funds: T-Fund Institutional Shares 4.700%

    9,072,686       $9,072,686  
   

 

 

 

Total Short-Term Investment
(Cost $9,072,686)

      9,072,686  
   

 

 

 

TOTAL INVESTMENTS - 100.6%
(Cost $452,828,302)

      447,898,054  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.6%)

 

    (2,677,365
   

 

 

 

NET ASSETS - 100.0%

      $445,220,689  
   

 

 

 

 

    

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
    

Level 1

Quoted Price

    

Level 2

Significant

Observable Inputs

    

Level 3

Significant

Unobservable Inputs

 

Assets

 

Corporate Bonds & Notes

     $438,825,368        $-        $438,825,368        $-  
 

Short-Term Investments

     9,072,686        9,072,686        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $447,898,054        $9,072,686        $438,825,368        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

191

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

CORPORATE BONDS & NOTES - 26.0%

 

Basic Materials - 0.6%

 

Air Products & Chemicals, Inc.

   

3.350% due 07/31/24

    $100,000       $98,420  

4.800% due 03/03/33

    100,000       102,852  

Albemarle Corp.

   

5.050% due 06/01/32

    100,000       97,753  

5.450% due 12/01/44

    50,000       47,496  

ArcelorMittal SA (Luxembourg)
6.550% due 11/29/27

    200,000       208,208  

BHP Billiton Finance USA Ltd. (Australia)
5.000% due 09/30/43

    500,000       506,975  

Celanese US Holdings LLC

   

1.400% due 08/05/26

    25,000       21,518  

6.165% due 07/15/27

    250,000       251,781  

Dow Chemical Co.

   

2.100% due 11/15/30

    250,000       208,742  

3.600% due 11/15/50

    250,000       187,397  

4.250% due 10/01/34

    141,000       131,278  

4.800% due 05/15/49

    65,000       57,859  

DuPont de Nemours, Inc.

   

4.493% due 11/15/25

    350,000       349,722  

4.725% due 11/15/28

    150,000       151,491  

5.319% due 11/15/38

    65,000       65,516  

5.419% due 11/15/48

    75,000       75,177  

Eastman Chemical Co.

   

3.800% due 03/15/25

    100,000       97,552  

4.650% due 10/15/44

    50,000       43,506  

4.800% due 09/01/42

    100,000       89,332  

Ecolab, Inc.

   

1.650% due 02/01/27

    100,000       90,708  

2.125% due 02/01/32

    100,000       83,564  

2.700% due 12/15/51

    100,000       66,596  

Fibria Overseas Finance Ltd. (Brazil)
5.500% due 01/17/27

    50,000       50,245  

Freeport-McMoRan, Inc.

   

4.125% due 03/01/28

    150,000       141,381  

4.625% due 08/01/30

    100,000       94,573  

5.450% due 03/15/43

    100,000       93,652  

Georgia-Pacific LLC
8.875% due 05/15/31

    100,000       125,939  

Huntsman International LLC
4.500% due 05/01/29

    45,000       42,300  

International Paper Co.

   

4.350% due 08/15/48

    54,000       46,917  

6.000% due 11/15/41

    200,000       208,498  

Linde, Inc.

   

1.100% due 08/10/30

    50,000       39,941  

2.000% due 08/10/50

    30,000       17,863  

4.700% due 12/05/25

    100,000       100,594  

LYB International Finance III LLC

   

1.250% due 10/01/25

    20,000       18,129  

2.250% due 10/01/30

    25,000       20,673  

3.375% due 10/01/40

    30,000       22,250  

3.625% due 04/01/51

    40,000       28,496  

3.800% due 10/01/60

    30,000       20,640  

4.200% due 05/01/50

    300,000       235,059  

LyondellBasell Industries NV
4.625% due 02/26/55

    75,000       61,429  

Mosaic Co.
5.450% due 11/15/33

    163,000       164,040  

NewMarket Corp.
2.700% due 03/18/31

    100,000       83,309  

Newmont Corp.

   

2.250% due 10/01/30

    65,000       54,635  

2.600% due 07/15/32

    100,000       83,753  

5.875% due 04/01/35

    100,000       105,690  
   

Principal
Amount

   

Value

 

Nucor Corp.

   

2.000% due 06/01/25

    $250,000       $235,264  

2.979% due 12/15/55

    25,000       16,689  

Nutrien Ltd. (Canada)

   

2.950% due 05/13/30

    50,000       44,051  

4.200% due 04/01/29

    55,000       53,041  

5.250% due 01/15/45

    139,000       132,311  

5.950% due 11/07/25

    35,000       36,016  

PPG Industries, Inc.

   

1.200% due 03/15/26

    70,000       62,799  

2.800% due 08/15/29

    50,000       44,522  

Reliance Steel & Aluminum Co.
1.300% due 08/15/25

    40,000       36,775  

Rio Tinto Finance USA Ltd. (Australia)

   

2.750% due 11/02/51

    50,000       34,544  

7.125% due 07/15/28

    50,000       56,384  

Rio Tinto Finance USA PLC (Australia)
4.750% due 03/22/42

    200,000       195,613  

RPM International, Inc.
5.250% due 06/01/45

    50,000       45,707  

Sherwin-Williams Co.

   

3.125% due 06/01/24

    25,000       24,451  

3.450% due 06/01/27

    60,000       57,438  

3.950% due 01/15/26

    150,000       146,105  

4.000% due 12/15/42

    50,000       41,203  

4.500% due 06/01/47

    29,000       25,609  

Southern Copper Corp. (Mexico)

   

5.250% due 11/08/42

    150,000       143,715  

7.500% due 07/27/35

    50,000       58,292  

Steel Dynamics, Inc.

   

1.650% due 10/15/27

    10,000       8,592  

2.400% due 06/15/25

    15,000       14,160  

3.250% due 01/15/31

    40,000       35,633  

3.250% due 10/15/50

    20,000       14,001  

Suzano Austria GmbH (Brazil)

   

2.500% due 09/15/28

    40,000       34,080  

3.125% due 01/15/32

    40,000       32,761  

3.750% due 01/15/31

    125,000       108,878  

Teck Resources Ltd. (Canada)
3.900% due 07/15/30

    250,000       229,871  

Vale Overseas Ltd. (Brazil)
6.875% due 11/21/36

    150,000       156,936  

Westlake Corp.
4.375% due 11/15/47

    100,000       80,174  
   

 

 

 
      7,099,064  
   

 

 

 

Communications - 2.4%

 

Alibaba Group Holding Ltd. (China)

   

2.700% due 02/09/41

    350,000       235,393  

3.600% due 11/28/24

    200,000       195,566  

Alphabet, Inc.

   

0.800% due 08/15/27

    150,000       131,603  

1.900% due 08/15/40

    150,000       105,271  

1.998% due 08/15/26

    200,000       187,448  

2.250% due 08/15/60

    150,000       92,632  

Amazon.com, Inc.

   

0.450% due 05/12/24

    45,000       43,140  

0.800% due 06/03/25

    565,000       525,905  

1.000% due 05/12/26

    100,000       90,711  

1.500% due 06/03/30

    85,000       70,702  

1.650% due 05/12/28

    100,000       88,704  

2.100% due 05/12/31

    100,000       85,521  

2.500% due 06/03/50

    40,000       27,146  

2.700% due 06/03/60

    300,000       197,257  

2.875% due 05/12/41

    100,000       78,843  

3.000% due 04/13/25

    400,000       390,306  

3.100% due 05/12/51

    100,000       75,852  

3.250% due 05/12/61

    100,000       73,808  

3.300% due 04/13/27

    150,000       145,242  

3.600% due 04/13/32

    200,000       190,109  

3.875% due 08/22/37

    195,000       181,637  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

192

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

3.950% due 04/13/52

    $150,000       $133,297  

4.050% due 08/22/47

    70,000       63,597  

4.100% due 04/13/62

    100,000       88,140  

4.250% due 08/22/57

    100,000       91,236  

4.550% due 12/01/27

    100,000       101,564  

4.600% due 12/01/25

    100,000       100,867  

4.650% due 12/01/29

    500,000       510,988  

4.700% due 12/01/32

    100,000       102,573  

5.200% due 12/03/25

    50,000       50,954  

America Movil SAB de CV (Mexico)

   

2.875% due 05/07/30

    200,000       176,577  

6.375% due 03/01/35

    125,000       137,600  

AT&T, Inc.

   

1.650% due 02/01/28

    300,000       263,666  

2.250% due 02/01/32

    165,000       134,962  

2.550% due 12/01/33

    250,000       201,228  

2.750% due 06/01/31

    100,000       86,221  

3.500% due 06/01/41

    200,000       158,012  

3.500% due 09/15/53

    597,000       434,197  

3.550% due 09/15/55

    433,000       311,359  

3.650% due 06/01/51

    350,000       265,503  

3.650% due 09/15/59

    121,000       86,619  

3.800% due 12/01/57

    200,000       148,821  

3.850% due 06/01/60

    45,000       33,783  

4.250% due 03/01/27

    100,000       99,270  

4.300% due 12/15/42

    393,000       342,353  

4.350% due 03/01/29

    150,000       146,930  

4.350% due 06/15/45

    177,000       151,835  

4.500% due 05/15/35

    90,000       84,351  

4.550% due 03/09/49

    100,000       87,373  

4.850% due 03/01/39

    70,000       65,774  

5.350% due 09/01/40

    161,000       159,847  

5.539% due 02/20/26

    300,000       300,993  

Baidu, Inc. (China)

   

1.625% due 02/23/27

    200,000       176,747  

2.375% due 08/23/31

    200,000       163,617  

Bell Telephone Co. of Canada or Bell Canada (Canada)

   

2.150% due 02/15/32

    40,000       32,768  

3.200% due 02/15/52

    20,000       14,078  

3.650% due 08/15/52

    70,000       54,207  

4.464% due 04/01/48

    65,000       57,232  

Booking Holdings, Inc.

   

3.600% due 06/01/26

    50,000       48,792  

4.625% due 04/13/30

    200,000       199,950  

British Telecommunications PLC (United Kingdom)

   

5.125% due 12/04/28

    200,000       202,026  

9.625% due 12/15/30

    50,000       62,367  

Charter Communications Operating LLC/Charter Communications Operating Capital

   

3.500% due 06/01/41

    60,000       41,226  

3.750% due 02/15/28

    100,000       92,939  

3.850% due 04/01/61

    335,000       209,294  

3.900% due 06/01/52

    175,000       115,891  

4.200% due 03/15/28

    200,000       189,409  

4.400% due 12/01/61

    100,000       68,434  

4.800% due 03/01/50

    350,000       267,116  

4.908% due 07/23/25

    150,000       148,564  

5.125% due 07/01/49

    100,000       79,259  

5.375% due 05/01/47

    50,000       41,302  

6.384% due 10/23/35

    70,000       69,799  

6.484% due 10/23/45

    165,000       156,499  

6.834% due 10/23/55

    50,000       48,651  

Cisco Systems, Inc.
2.950% due 02/28/26

    50,000       48,389  

Comcast Corp.

   

1.500% due 02/15/31

    700,000       562,429  

1.950% due 01/15/31

    140,000       116,562  

2.350% due 01/15/27

    40,000       37,284  

2.450% due 08/15/52

    100,000       62,580  

2.800% due 01/15/51

    55,000       37,204  

2.987% due 11/01/63

    101,000       65,607  

3.300% due 02/01/27

    100,000       96,511  

3.400% due 07/15/46

    55,000       42,727  
   

Principal
Amount

   

Value

 

3.700% due 04/15/24

    $85,000       $84,007  

3.750% due 04/01/40

    155,000       133,264  

3.950% due 10/15/25

    350,000       346,213  

3.999% due 11/01/49

    211,000       177,500  

4.000% due 08/15/47

    100,000       84,950  

4.049% due 11/01/52

    97,000       81,770  

4.150% due 10/15/28

    95,000       94,023  

4.250% due 10/15/30

    420,000       411,755  

4.400% due 08/15/35

    77,000       74,552  

4.600% due 10/15/38

    85,000       82,364  

4.700% due 10/15/48

    325,000       308,009  

4.750% due 03/01/44

    300,000       284,922  

4.950% due 10/15/58

    80,000       77,587  

5.350% due 11/15/27

    65,000       67,715  

Corning, Inc.

   

4.375% due 11/15/57

    100,000       84,753  

4.700% due 03/15/37

    50,000       47,858  

5.350% due 11/15/48

    100,000       98,578  

Deutsche Telekom International Finance BV (Germany)
8.750% due 06/15/30

    185,000       226,191  

Discovery Communications LLC

   

3.450% due 03/15/25

    100,000       96,113  

3.625% due 05/15/30

    250,000       221,875  

3.950% due 03/20/28

    60,000       56,303  

4.000% due 09/15/55

    118,000       78,413  

5.200% due 09/20/47

    30,000       24,888  

eBay, Inc.

   

1.900% due 03/11/25

    50,000       47,301  

2.700% due 03/11/30

    100,000       87,690  

3.600% due 06/05/27

    50,000       47,729  

5.900% due 11/22/25

    70,000       71,933  

Expedia Group, Inc.
3.800% due 02/15/28

    50,000       47,407  

Fox Corp.

   

3.050% due 04/07/25

    150,000       144,328  

5.576% due 01/25/49

    200,000       191,380  

Interpublic Group of Cos., Inc.

   

2.400% due 03/01/31

    100,000       83,078  

3.375% due 03/01/41

    70,000       52,780  

JD.com, Inc. (China)
4.125% due 01/14/50

    200,000       155,000  

Juniper Networks, Inc.
3.750% due 08/15/29

    100,000       92,756  

Meta Platforms, Inc.

   

3.500% due 08/15/27

    200,000       193,257  

3.850% due 08/15/32

    200,000       187,330  

4.450% due 08/15/52

    200,000       176,177  

4.650% due 08/15/62

    200,000       176,956  

Motorola Solutions, Inc.

   

2.750% due 05/24/31

    100,000       82,645  

4.600% due 02/23/28

    100,000       98,745  

Omnicom Group, Inc.
2.600% due 08/01/31

    100,000       84,994  

Omnicom Group, Inc./Omnicom Capital, Inc.
3.600% due 04/15/26

    50,000       48,558  

Orange SA (France)

   

5.375% due 01/13/42

    150,000       154,223  

9.000% due 03/01/31

    50,000       62,804  

Paramount Global

   

2.900% due 01/15/27

    50,000       45,595  

3.375% due 02/15/28

    55,000       49,867  

4.200% due 05/19/32

    300,000       257,523  

4.375% due 03/15/43

    70,000       49,806  

5.900% due 10/15/40

    50,000       44,522  

6.875% due 04/30/36

    100,000       101,722  

7.875% due 07/30/30

    100,000       109,516  

Rogers Communications, Inc. (Canada)

   

3.200% due 03/15/27 ~

    65,000       61,203  

3.800% due 03/15/32 ~

    65,000       58,396  

4.300% due 02/15/48

    85,000       68,080  

4.350% due 05/01/49

    75,000       60,826  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

193

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

4.500% due 03/15/43

    $25,000       $21,157  

4.550% due 03/15/52 ~

    100,000       82,341  

5.000% due 03/15/44

    100,000       90,324  

T-Mobile USA, Inc.

   

2.250% due 11/15/31

    50,000       40,968  

2.400% due 03/15/29

    25,000       21,792  

2.550% due 02/15/31

    300,000       254,405  

2.700% due 03/15/32

    55,000       46,362  

3.000% due 02/15/41

    20,000       14,844  

3.300% due 02/15/51

    50,000       35,609  

3.400% due 10/15/52

    150,000       108,146  

3.500% due 04/15/25

    200,000       194,517  

3.600% due 11/15/60

    220,000       157,131  

3.750% due 04/15/27

    500,000       480,955  

3.875% due 04/15/30

    300,000       281,731  

4.500% due 04/15/50

    200,000       174,349  

4.950% due 03/15/28

    60,000       60,605  

5.050% due 07/15/33

    160,000       160,870  

5.200% due 01/15/33

    130,000       132,672  

5.650% due 01/15/53

    65,000       66,649  

5.800% due 09/15/62

    95,000       98,570  

Telefonica Emisiones SA (Spain)

   

5.213% due 03/08/47

    150,000       131,399  

7.045% due 06/20/36

    150,000       165,832  

Telefonica Europe BV (Spain)
8.250% due 09/15/30

    250,000       293,171  

TELUS Corp. (Canada)

   

3.400% due 05/13/32

    50,000       43,833  

4.600% due 11/16/48

    100,000       89,098  

Thomson Reuters Corp. (Canada)

   

5.650% due 11/23/43

    150,000       144,998  

5.850% due 04/15/40

    25,000       24,905  

Time Warner Cable LLC

   

5.875% due 11/15/40

    150,000       136,119  

6.550% due 05/01/37

    100,000       98,666  

6.750% due 06/15/39

    50,000       49,299  

7.300% due 07/01/38

    150,000       155,802  

VeriSign, Inc.
2.700% due 06/15/31

    80,000       67,882  

Verizon Communications, Inc.

   

0.850% due 11/20/25

    100,000       91,077  

1.450% due 03/20/26

    40,000       36,821  

1.500% due 09/18/30

    90,000       72,914  

1.750% due 01/20/31

    100,000       80,703  

2.100% due 03/22/28

    60,000       53,472  

2.355% due 03/15/32

    500,000       410,440  

2.550% due 03/21/31

    140,000       119,325  

2.650% due 11/20/40

    450,000       321,665  

2.850% due 09/03/41

    45,000       32,997  

2.875% due 11/20/50

    100,000       66,614  

2.987% due 10/30/56

    383,000       249,472  

3.000% due 11/20/60

    90,000       57,821  

3.150% due 03/22/30

    500,000       455,725  

3.376% due 02/15/25

    200,000       195,994  

3.400% due 03/22/41

    580,000       461,696  

3.550% due 03/22/51

    55,000       42,031  

3.700% due 03/22/61

    45,000       33,629  

4.000% due 03/22/50

    250,000       208,439  

4.125% due 03/16/27

    300,000       297,546  

4.272% due 01/15/36

    57,000       52,908  

4.329% due 09/21/28

    250,000       247,254  

Vodafone Group PLC (United Kingdom)

   

5.125% due 06/19/59

    100,000       91,498  

5.625% due 02/10/53

    175,000       173,037  

6.150% due 02/27/37

    150,000       160,584  

7.875% due 02/15/30

    50,000       58,401  

Walt Disney Co.

   

1.750% due 08/30/24

    50,000       48,143  

1.750% due 01/13/26

    70,000       65,646  

2.000% due 09/01/29

    35,000       30,395  

2.650% due 01/13/31

    310,000       274,043  

2.750% due 09/01/49

    45,000       31,340  
   

Principal
Amount

   

Value

 

3.350% due 03/24/25

    $350,000       $343,952  

3.375% due 11/15/26

    200,000       194,312  

3.600% due 01/13/51

    200,000       162,706  

4.700% due 03/23/50

    200,000       195,715  

5.400% due 10/01/43

    100,000       105,497  

6.400% due 12/15/35

    39,000       44,886  

6.650% due 11/15/37

    150,000       178,157  

Weibo Corp. (China)
3.375% due 07/08/30

    200,000       162,834  
   

 

 

 
      28,215,166  
   

 

 

 

Consumer, Cyclical - 1.5%

 

Advance Auto Parts, Inc.
1.750% due 10/01/27

    20,000       17,285  

American Airlines Pass-Through Trust Class AA
3.200% due 06/15/28

    107,925       97,046  

American Honda Finance Corp.

   

0.750% due 08/09/24

    65,000       61,596  

1.200% due 07/08/25

    50,000       46,364  

1.500% due 01/13/25

    150,000       142,005  

2.000% due 03/24/28

    45,000       39,969  

2.250% due 01/12/29

    150,000       132,561  

Aptiv PLC

   

3.100% due 12/01/51

    200,000       127,017  

4.400% due 10/01/46

    100,000       79,097  

AutoNation, Inc.
4.500% due 10/01/25

    100,000       97,809  

AutoZone, Inc.

   

1.650% due 01/15/31

    85,000       67,730  

3.750% due 06/01/27

    100,000       96,812  

4.750% due 02/01/33

    65,000       64,262  

Best Buy Co., Inc.
4.450% due 10/01/28

    50,000       49,414  

BorgWarner, Inc.
2.650% due 07/01/27

    25,000       22,931  

Choice Hotels International, Inc.
3.700% due 12/01/29

    25,000       22,475  

Continental Airlines Pass-Through Trust Class A
4.000% due 10/29/24

    16,561       16,016  

Costco Wholesale Corp.

   

1.375% due 06/20/27

    200,000       179,431  

1.750% due 04/20/32

    200,000       164,568  

Cummins, Inc.

   

0.750% due 09/01/25

    35,000       31,990  

1.500% due 09/01/30

    100,000       81,877  

2.600% due 09/01/50

    100,000       65,352  

Darden Restaurants, Inc.
3.850% due 05/01/27

    130,000       125,860  

Delta Air Lines Pass- Through Trust Class AA

   

2.000% due 06/10/28

    42,526       37,476  

3.204% due 04/25/24

    25,000       24,490  

Dick’s Sporting Goods, Inc.
3.150% due 01/15/32

    300,000       246,747  

Dollar General Corp.

   

3.875% due 04/15/27

    50,000       48,802  

4.150% due 11/01/25

    25,000       24,564  

Dollar Tree, Inc.

   

2.650% due 12/01/31

    100,000       83,856  

4.200% due 05/15/28

    45,000       43,846  

DR Horton, Inc.
1.300% due 10/15/26

    85,000       75,073  

General Motors Co.

   

4.200% due 10/01/27

    50,000       48,022  

5.400% due 10/15/29

    250,000       247,990  

5.400% due 04/01/48

    50,000       42,999  

6.125% due 10/01/25

    250,000       254,875  

6.250% due 10/02/43

    100,000       96,266  

6.750% due 04/01/46

    25,000       25,321  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

194

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

General Motors Financial Co., Inc.

   

1.250% due 01/08/26

    $500,000       $450,445  

2.700% due 06/10/31

    100,000       80,190  

3.500% due 11/07/24

    100,000       97,471  

3.600% due 06/21/30

    350,000       306,931  

3.950% due 04/13/24

    100,000       98,552  

4.000% due 10/06/26

    50,000       47,874  

4.300% due 04/06/29

    100,000       93,040  

5.000% due 04/09/27

    60,000       59,332  

Hasbro, Inc.

   

3.500% due 09/15/27

    30,000       28,297  

3.900% due 11/19/29

    100,000       91,121  

Home Depot, Inc.

   

1.375% due 03/15/31

    300,000       240,215  

2.125% due 09/15/26

    100,000       93,817  

2.375% due 03/15/51

    200,000       126,056  

2.700% due 04/15/30

    300,000       270,998  

3.000% due 04/01/26

    25,000       24,250  

3.250% due 04/15/32

    65,000       59,365  

3.350% due 09/15/25

    45,000       44,040  

3.500% due 09/15/56

    55,000       42,973  

3.625% due 04/15/52

    250,000       201,536  

3.900% due 12/06/28

    40,000       39,425  

4.200% due 04/01/43

    300,000       271,987  

4.500% due 12/06/48

    100,000       94,267  

5.875% due 12/16/36

    75,000       83,690  

Honda Motor Co. Ltd. (Japan)
2.271% due 03/10/25

    250,000       239,071  

Hyatt Hotels Corp.
4.850% due 03/15/26

    25,000       24,869  

JetBlue Pass-Through Trust
4.000% due 11/15/32

    13,037       11,984  

Lear Corp.

   

2.600% due 01/15/32

    100,000       78,374  

3.550% due 01/15/52

    100,000       65,795  

Leggett & Platt, Inc.
3.800% due 11/15/24

    50,000       49,153  

Lowe’s Cos., Inc.

   

1.300% due 04/15/28

    20,000       17,192  

1.700% due 09/15/28

    25,000       21,639  

1.700% due 10/15/30

    20,000       16,181  

2.625% due 04/01/31

    100,000       85,518  

2.800% due 09/15/41

    50,000       35,501  

3.000% due 10/15/50

    15,000       9,976  

3.500% due 04/01/51

    50,000       35,839  

3.650% due 04/05/29

    35,000       33,153  

3.700% due 04/15/46

    250,000       191,495  

3.750% due 04/01/32

    200,000       184,894  

4.250% due 04/01/52

    50,000       41,080  

4.450% due 04/01/62

    250,000       204,364  

4.500% due 04/15/30

    250,000       247,168  

5.150% due 07/01/33

    300,000       302,990  

Magna International, Inc. (Canada)

   

4.150% due 10/01/25

    25,000       24,480  

5.980% due 03/21/26

    200,000       201,757  

Marriott International, Inc.

   

2.750% due 10/15/33

    150,000       121,547  

3.125% due 06/15/26

    200,000       189,076  

3.500% due 10/15/32

    40,000       35,096  

McDonald’s Corp.

   

3.375% due 05/26/25

    100,000       97,780  

3.500% due 03/01/27

    50,000       48,503  

3.500% due 07/01/27

    300,000       290,749  

3.600% due 07/01/30

    100,000       94,918  

3.700% due 02/15/42

    200,000       165,770  

3.800% due 04/01/28

    25,000       24,550  

4.200% due 04/01/50

    150,000       132,463  

4.450% due 09/01/48

    10,000       9,297  

4.875% due 07/15/40

    10,000       9,748  

Mercedes-Benz Finance North America LLC (Germany)
8.500% due 01/18/31

    50,000       63,350  

NIKE, Inc.

   
   

Principal
Amount

   

Value

 

2.850% due 03/27/30

    $350,000       $321,888  

3.375% due 11/01/46

    200,000       164,937  

3.625% due 05/01/43

    25,000       21,637  

O’Reilly Automotive, Inc.

   

4.350% due 06/01/28

    100,000       99,166  

4.700% due 06/15/32

    50,000       49,383  

PACCAR Financial Corp.

   

1.100% due 05/11/26

    70,000       63,335  

2.000% due 02/04/27

    70,000       64,238  

3.150% due 06/13/24

    30,000       29,421  

3.550% due 08/11/25

    100,000       97,759  

PulteGroup, Inc.
5.500% due 03/01/26

    200,000       200,703  

Ralph Lauren Corp.
3.750% due 09/15/25

    50,000       48,958  

Ross Stores, Inc.

   

0.875% due 04/15/26

    100,000       89,041  

1.875% due 04/15/31

    100,000       80,742  

Southwest Airlines Co.
5.250% due 05/04/25

    180,000       179,967  

Starbucks Corp.

   

2.450% due 06/15/26

    50,000       46,966  

3.500% due 03/01/28

    100,000       95,581  

3.500% due 11/15/50

    200,000       155,444  

3.550% due 08/15/29

    100,000       95,284  

3.750% due 12/01/47

    35,000       28,207  

4.300% due 06/15/45

    35,000       31,231  

4.450% due 08/15/49

    100,000       90,252  

4.800% due 02/15/33

    70,000       70,691  

Tapestry, Inc.
4.125% due 07/15/27

    23,000       21,973  

Target Corp.

   

1.950% due 01/15/27

    250,000       231,289  

2.250% due 04/15/25

    150,000       144,181  

2.950% due 01/15/52

    200,000       144,824  

3.375% due 04/15/29

    100,000       95,791  

4.800% due 01/15/53

    35,000       34,420  

Toyota Motor Credit Corp.

   

0.500% due 06/18/24

    200,000       190,404  

0.800% due 10/16/25

    50,000       45,615  

1.125% due 06/18/26

    200,000       180,462  

1.150% due 08/13/27

    120,000       104,807  

1.800% due 02/13/25

    50,000       47,584  

1.900% due 04/06/28

    100,000       89,038  

2.150% due 02/13/30

    100,000       87,820  

3.050% due 03/22/27

    200,000       189,905  

3.200% due 01/11/27

    100,000       95,804  

3.950% due 06/30/25

    175,000       172,914  

4.700% due 01/12/33

    300,000       305,520  

United Airlines Pass-Through Trust Class A

   

2.700% due 05/01/32

    221,131       186,850  

4.000% due 04/11/26

    62,984       59,467  

5.875% due 10/15/27

    67,908       67,794  

United Airlines Pass-Through Trust Class AA

   

2.875% due 10/07/28

    110,354       98,487  

3.100% due 07/07/28

    35,489       32,030  

Walgreens Boots Alliance, Inc.
3.450% due 06/01/26

    30,000       28,664  

Walmart, Inc.

   

1.050% due 09/17/26

    150,000       135,317  

1.800% due 09/22/31

    300,000       253,918  

2.500% due 09/22/41

    250,000       189,328  

2.650% due 12/15/24

    100,000       97,391  

2.650% due 09/22/51

    200,000       145,218  

2.850% due 07/08/24

    90,000       88,026  

3.050% due 07/08/26

    65,000       62,999  

3.250% due 07/08/29

    80,000       76,314  

3.300% due 04/22/24

    300,000       296,334  

Warnermedia Holdings, Inc.

   

3.638% due 03/15/25 ~

    300,000       289,983  

4.279% due 03/15/32 ~

    300,000       268,056  

5.050% due 03/15/42 ~

    300,000       251,201  

5.141% due 03/15/52 ~

    400,000       324,538  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

195

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Whirlpool Corp.

   

2.400% due 05/15/31

    $5,000       $4,096  

4.600% due 05/15/50

    50,000       41,723  

4.700% due 05/14/32

    30,000       28,812  

4.750% due 02/26/29

    60,000       59,402  

WW Grainger, Inc.

   

1.850% due 02/15/25

    25,000       23,774  

3.750% due 05/15/46

    50,000       41,586  

4.600% due 06/15/45

    20,000       19,072  
   

 

 

 
      16,958,548  
   

 

 

 

Consumer, Non-Cyclical - 4.4%

 

Abbott Laboratories

   

2.950% due 03/15/25

    100,000       97,749  

3.750% due 11/30/26

    227,000       225,531  

4.750% due 11/30/36

    100,000       103,977  

4.900% due 11/30/46

    100,000       102,969  

6.150% due 11/30/37

    25,000       28,943  

AbbVie, Inc.

   

2.600% due 11/21/24

    80,000       77,238  

2.950% due 11/21/26

    455,000       433,220  

3.200% due 05/14/26

    100,000       96,611  

3.200% due 11/21/29

    175,000       162,471  

3.600% due 05/14/25

    175,000       171,732  

3.800% due 03/15/25

    70,000       68,892  

4.050% due 11/21/39

    70,000       62,618  

4.250% due 11/21/49

    300,000       265,013  

4.300% due 05/14/36

    50,000       47,034  

4.400% due 11/06/42

    125,000       114,341  

4.500% due 05/14/35

    160,000       155,185  

4.625% due 10/01/42

    100,000       91,927  

4.700% due 05/14/45

    50,000       46,889  

4.750% due 03/15/45

    330,000       311,672  

Adventist Health System
3.630% due 03/01/49

    15,000       11,190  

Advocate Health & Hospitals Corp.
3.387% due 10/15/49

    50,000       37,703  

Aetna, Inc.

   

3.500% due 11/15/24

    100,000       97,651  

3.875% due 08/15/47

    30,000       23,853  

4.125% due 11/15/42

    100,000       84,665  

Altria Group, Inc.

   

2.350% due 05/06/25

    75,000       71,246  

3.400% due 05/06/30

    50,000       44,500  

3.400% due 02/04/41

    250,000       177,063  

4.400% due 02/14/26

    13,000       12,907  

4.450% due 05/06/50

    75,000       56,061  

4.500% due 05/02/43

    100,000       80,119  

4.800% due 02/14/29

    300,000       297,804  

5.800% due 02/14/39

    65,000       63,557  

5.950% due 02/14/49

    75,000       71,068  

AmerisourceBergen Corp.

   

3.400% due 05/15/24

    100,000       98,063  

3.450% due 12/15/27

    50,000       47,369  

Amgen, Inc.

   

1.900% due 02/21/25

    35,000       33,168  

2.200% due 02/21/27

    35,000       32,272  

2.300% due 02/25/31

    200,000       168,409  

2.450% due 02/21/30

    50,000       43,612  

2.770% due 09/01/53

    311,000       199,202  

3.200% due 11/02/27

    50,000       47,300  

3.350% due 02/22/32

    145,000       130,958  

3.375% due 02/21/50

    250,000       188,176  

3.625% due 05/22/24

    100,000       98,618  

4.200% due 03/01/33

    200,000       191,824  

4.400% due 05/01/45

    100,000       88,370  

5.150% due 03/02/28

    100,000       102,155  

5.150% due 11/15/41

    174,000       169,335  

5.250% due 03/02/25

    35,000       35,403  

5.250% due 03/02/30

    100,000       102,313  
   

Principal
Amount

   

Value

 

5.250% due 03/02/33

    $290,000       $298,104  

5.507% due 03/02/26

    40,000       40,172  

5.600% due 03/02/43

    45,000       46,397  

5.650% due 03/02/53

    280,000       291,681  

5.750% due 03/02/63

    395,000       410,335  

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium)

   

3.650% due 02/01/26

    750,000       736,598  

4.700% due 02/01/36

    525,000       523,145  

4.900% due 02/01/46

    750,000       733,908  

Anheuser-Busch InBev Finance, Inc. (Belgium)
4.625% due 02/01/44

    300,000       283,779  

Anheuser-Busch InBev Worldwide, Inc. (Belgium)

   

3.500% due 06/01/30

    350,000       330,206  

4.000% due 04/13/28

    80,000       79,144  

4.375% due 04/15/38

    35,000       33,268  

4.439% due 10/06/48

    200,000       182,726  

4.600% due 04/15/48

    50,000       47,237  

4.750% due 01/23/29

    55,000       56,198  

4.900% due 01/23/31

    65,000       67,005  

5.450% due 01/23/39

    65,000       68,326  

5.550% due 01/23/49

    100,000       107,367  

5.800% due 01/23/59

    45,000       49,477  

Archer-Daniels-Midland Co.

   

2.700% due 09/15/51

    250,000       173,446  

2.900% due 03/01/32

    45,000       40,006  

4.500% due 08/15/33

    200,000       200,352  

Ascension Health
3.945% due 11/15/46

    70,000       61,092  

Astrazeneca Finance LLC (United Kingdom)

   

1.200% due 05/28/26

    35,000       31,894  

2.250% due 05/28/31

    20,000       17,218  

4.875% due 03/03/28

    150,000       154,410  

AstraZeneca PLC (United Kingdom)

   

1.375% due 08/06/30

    300,000       244,696  

3.000% due 05/28/51

    15,000       11,423  

3.125% due 06/12/27

    100,000       95,410  

3.375% due 11/16/25

    100,000       97,825  

4.000% due 09/18/42

    25,000       22,808  

4.375% due 11/16/45

    25,000       24,052  

6.450% due 09/15/37

    100,000       118,073  

Automatic Data Processing, Inc.

   

1.250% due 09/01/30

    40,000       32,814  

1.700% due 05/15/28

    40,000       35,720  

3.375% due 09/15/25

    25,000       24,523  

Avery Dennison Corp.

   

2.650% due 04/30/30

    30,000       25,641  

5.750% due 03/15/33

    100,000       104,104  

Banner Health

   

1.897% due 01/01/31

    40,000       32,771  

2.913% due 01/01/51

    50,000       33,966  

BAT Capital Corp. (United Kingdom)

   

2.259% due 03/25/28

    325,000       278,877  

2.726% due 03/25/31

    250,000       202,827  

2.789% due 09/06/24

    35,000       33,760  

3.215% due 09/06/26

    50,000       47,140  

3.222% due 08/15/24

    100,000       97,024  

3.462% due 09/06/29

    50,000       44,244  

3.557% due 08/15/27

    100,000       93,028  

4.390% due 08/15/37

    70,000       57,177  

4.700% due 04/02/27

    200,000       196,447  

4.758% due 09/06/49

    50,000       38,425  

BAT International Finance PLC (United Kingdom)
1.668% due 03/25/26

    25,000       22,766  

Baxalta, Inc.

   

4.000% due 06/23/25

    15,000       14,699  

5.250% due 06/23/45

    9,000       8,862  

Baxter International, Inc.

   

1.322% due 11/29/24

    400,000       376,621  

1.915% due 02/01/27

    100,000       89,551  

2.539% due 02/01/32

    100,000       81,491  

3.950% due 04/01/30

    150,000       139,956  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

196

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Baylor Scott & White Holdings
2.839% due 11/15/50

    $200,000       $135,219  

Becton Dickinson & Co.

   

2.823% due 05/20/30

    70,000       62,499  

3.363% due 06/06/24

    23,000       22,584  

3.734% due 12/15/24

    36,000       35,215  

3.794% due 05/20/50

    350,000       284,399  

4.669% due 06/06/47

    50,000       46,797  

Bestfoods
7.250% due 12/15/26

    200,000       216,353  

Biogen, Inc.

   

2.250% due 05/01/30

    55,000       46,329  

3.150% due 05/01/50

    440,000       306,803  

Boston Scientific Corp.

   

2.650% due 06/01/30

    350,000       309,452  

4.550% due 03/01/39

    50,000       47,080  

4.700% due 03/01/49

    70,000       66,635  

Bristol-Myers Squibb Co.

   

0.750% due 11/13/25

    50,000       45,697  

1.125% due 11/13/27

    50,000       43,842  

1.450% due 11/13/30

    280,000       228,634  

2.350% due 11/13/40

    20,000       14,428  

2.550% due 11/13/50

    30,000       20,102  

2.950% due 03/15/32

    50,000       45,102  

3.200% due 06/15/26

    50,000       48,353  

3.250% due 08/01/42

    100,000       80,121  

3.400% due 07/26/29

    118,000       112,309  

3.700% due 03/15/52

    70,000       58,564  

3.900% due 02/20/28

    100,000       98,171  

3.900% due 03/15/62

    250,000       207,860  

4.125% due 06/15/39

    35,000       32,632  

4.250% due 10/26/49

    365,000       331,281  

4.350% due 11/15/47

    50,000       46,547  

Brown-Forman Corp.
4.500% due 07/15/45

    40,000       37,085  

Bunge Ltd. Finance Corp.

   

2.750% due 05/14/31

    100,000       85,116  

3.250% due 08/15/26

    20,000       18,978  

3.750% due 09/25/27

    30,000       28,840  

California Institute of Technology
3.650% due 09/01/19

    20,000       14,085  

Campbell Soup Co.

   

4.150% due 03/15/28

    100,000       98,021  

4.800% due 03/15/48

    20,000       18,635  

Cardinal Health, Inc.

   

3.079% due 06/15/24

    50,000       48,888  

3.410% due 06/15/27

    100,000       94,857  

3.750% due 09/15/25

    50,000       48,532  

4.368% due 06/15/47

    50,000       41,632  

4.900% due 09/15/45

    50,000       45,306  

Centene Corp.

   

3.000% due 10/15/30

    200,000       168,596  

4.625% due 12/15/29

    200,000       188,228  

Children’s Hospital of Philadelphia
2.704% due 07/01/50

    250,000       164,959  

Church & Dwight Co., Inc.

   

2.300% due 12/15/31

    40,000       33,597  

5.000% due 06/15/52

    100,000       99,407  

Cigna Group

   

1.250% due 03/15/26

    65,000       58,943  

2.375% due 03/15/31

    60,000       50,650  

2.400% due 03/15/30

    120,000       104,148  

3.050% due 10/15/27

    30,000       28,023  

3.200% due 03/15/40

    85,000       66,683  

3.400% due 03/15/50

    65,000       48,106  

3.400% due 03/15/51

    40,000       29,493  

3.875% due 10/15/47

    50,000       40,595  

4.125% due 11/15/25

    45,000       44,294  

4.375% due 10/15/28

    80,000       78,878  

4.800% due 08/15/38

    60,000       58,188  

4.900% due 12/15/48

    555,000       522,734  
   

Principal
Amount

   

Value

 

Cintas Corp. No. 2

   

3.450% due 05/01/25

    $25,000       $24,409  

3.700% due 04/01/27

    50,000       48,533  

Coca-Cola Co.

   

1.375% due 03/15/31

    200,000       163,250  

1.500% due 03/05/28

    60,000       53,328  

2.000% due 03/05/31

    65,000       55,696  

2.125% due 09/06/29

    100,000       89,816  

2.250% due 01/05/32

    100,000       87,143  

2.875% due 05/05/41

    100,000       79,925  

3.000% due 03/05/51

    415,000       324,046  

Colgate-Palmolive Co.

   

3.100% due 08/15/27

    50,000       48,242  

3.700% due 08/01/47

    100,000       90,494  

4.800% due 03/02/26

    60,000       61,346  

CommonSpirit Health

   

4.350% due 11/01/42

    150,000       129,594  

6.073% due 11/01/27

    80,000       82,187  

Conagra Brands, Inc.

   

4.300% due 05/01/24

    15,000       14,854  

4.600% due 11/01/25

    35,000       34,561  

4.850% due 11/01/28

    45,000       44,827  

5.300% due 11/01/38

    50,000       48,983  

5.400% due 11/01/48

    40,000       39,223  

Constellation Brands, Inc.

   

2.250% due 08/01/31

    160,000       131,547  

3.500% due 05/09/27

    15,000       14,439  

4.350% due 05/09/27

    150,000       148,046  

4.400% due 11/15/25

    35,000       34,547  

4.650% due 11/15/28

    30,000       29,998  

5.250% due 11/15/48

    30,000       29,002  

CVS Health Corp.

   

1.300% due 08/21/27

    335,000       291,865  

1.750% due 08/21/30

    200,000       162,681  

2.625% due 08/15/24

    30,000       29,094  

2.700% due 08/21/40

    65,000       46,552  

2.875% due 06/01/26

    100,000       95,076  

3.000% due 08/15/26

    35,000       33,416  

3.250% due 08/15/29

    65,000       59,473  

3.750% due 04/01/30

    100,000       93,631  

3.875% due 07/20/25

    200,000       196,499  

4.100% due 03/25/25

    37,000       36,702  

4.125% due 04/01/40

    300,000       258,290  

4.250% due 04/01/50

    200,000       167,346  

4.300% due 03/25/28

    72,000       70,749  

4.780% due 03/25/38

    95,000       90,629  

5.125% due 07/20/45

    105,000       99,700  

5.250% due 02/21/33

    500,000       510,501  

5.300% due 12/05/43

    200,000       197,051  

Danaher Corp.

   

2.600% due 10/01/50

    125,000       85,629  

2.800% due 12/10/51

    100,000       69,902  

3.350% due 09/15/25

    30,000       29,377  

4.375% due 09/15/45

    30,000       28,008  

Diageo Capital PLC (United Kingdom)

   

2.000% due 04/29/30

    350,000       298,393  

3.875% due 04/29/43

    100,000       87,243  

Dignity Health
5.267% due 11/01/64

    100,000       93,382  

Elevance Health, Inc.

   

2.550% due 03/15/31

    100,000       86,117  

3.350% due 12/01/24

    400,000       390,718  

3.600% due 03/15/51

    30,000       23,399  

3.650% due 12/01/27

    30,000       29,006  

4.375% due 12/01/47

    30,000       26,741  

4.625% due 05/15/42

    100,000       93,449  

4.650% due 01/15/43

    50,000       46,789  

4.750% due 02/15/33

    100,000       100,571  

5.500% due 10/15/32

    200,000       210,525  

Eli Lilly & Co.

   

2.250% due 05/15/50

    200,000       132,482  

3.375% due 03/15/29

    27,000       25,856  

4.700% due 02/27/33

    125,000       128,227  

4.950% due 02/27/63

    250,000       257,524  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

197

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Equifax, Inc.

   

2.350% due 09/15/31

    $150,000       $120,908  

2.600% due 12/01/24

    25,000       23,900  

Estee Lauder Cos., Inc.

   

1.950% due 03/15/31

    45,000       37,800  

2.000% due 12/01/24

    10,000       9,653  

2.375% due 12/01/29

    10,000       8,851  

3.125% due 12/01/49

    15,000       11,520  

3.150% due 03/15/27

    50,000       48,390  

4.150% due 03/15/47

    30,000       27,261  

Flowers Foods, Inc.
2.400% due 03/15/31

    45,000       37,611  

GE HealthCare Technologies, Inc.
5.857% due 03/15/30 ~

    500,000       523,418  

General Mills, Inc.

   

2.250% due 10/14/31

    50,000       41,597  

3.000% due 02/01/51

    60,000       43,841  

3.200% due 02/10/27

    100,000       96,209  

4.200% due 04/17/28

    50,000       49,487  

4.950% due 03/29/33

    70,000       71,123  

5.241% due 11/18/25

    30,000       30,096  

George Washington University
4.300% due 09/15/44

    50,000       46,017  

Georgetown University
2.943% due 04/01/50

    25,000       17,090  

Gilead Sciences, Inc.

   

1.200% due 10/01/27

    45,000       39,330  

1.650% due 10/01/30

    40,000       32,947  

2.600% due 10/01/40

    450,000       332,214  

2.800% due 10/01/50

    100,000       69,133  

2.950% due 03/01/27

    100,000       95,221  

3.650% due 03/01/26

    100,000       97,941  

4.150% due 03/01/47

    75,000       66,012  

4.600% due 09/01/35

    45,000       44,598  

4.750% due 03/01/46

    50,000       48,120  

GlaxoSmithKline Capital PLC (United Kingdom)
3.375% due 06/01/29

    250,000       237,509  

GlaxoSmithKline Capital, Inc. (United Kingdom)

   

3.625% due 05/15/25

    85,000       83,820  

6.375% due 05/15/38

    100,000       118,049  

Global Payments, Inc.
5.400% due 08/15/32

    200,000       196,266  

Hackensack Meridian Health, Inc.
4.500% due 07/01/57

    100,000       92,060  

Haleon UK Capital PLC
3.125% due 03/24/25

    350,000       338,474  

Haleon US Capital LLC

   

3.375% due 03/24/27

    250,000       237,206  

3.625% due 03/24/32

    250,000       227,188  

HCA, Inc.

   

3.125% due 03/15/27 ~

    45,000       41,864  

3.500% due 07/15/51

    350,000       242,155  

3.625% due 03/15/32 ~

    600,000       529,474  

4.125% due 06/15/29

    35,000       32,821  

4.500% due 02/15/27

    60,000       58,639  

4.625% due 03/15/52 ~

    25,000       20,796  

5.125% due 06/15/39

    50,000       46,781  

5.250% due 04/15/25

    70,000       70,000  

5.250% due 06/15/26

    75,000       75,111  

5.250% due 06/15/49

    100,000       90,333  

5.500% due 06/15/47

    75,000       70,518  

Hershey Co.
2.300% due 08/15/26

    50,000       47,401  

Hormel Foods Corp.

   

0.650% due 06/03/24

    20,000       19,016  

1.700% due 06/03/28

    35,000       30,890  

3.050% due 06/03/51

    25,000       18,274  

Humana, Inc.

   

3.700% due 03/23/29

    85,000       80,063  
   

Principal
Amount

   

Value

 

3.850% due 10/01/24

    $100,000       $98,351  

4.625% due 12/01/42

    100,000       90,426  

5.700% due 03/13/26

    75,000       75,309  

Ingredion, Inc.
3.200% due 10/01/26

    100,000       95,360  

J M Smucker Co.

   

2.375% due 03/15/30

    65,000       56,103  

2.750% due 09/15/41

    100,000       73,283  

3.550% due 03/15/50

    50,000       37,611  

JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc.
5.750% due 04/01/33 ~

    500,000       478,750  

Johns Hopkins Health System Corp.
3.837% due 05/15/46

    50,000       42,358  

Johns Hopkins University
4.705% due 07/01/32

    30,000       30,540  

Johnson & Johnson

   

0.550% due 09/01/25

    400,000       367,961  

1.300% due 09/01/30

    70,000       58,628  

2.100% due 09/01/40

    65,000       47,207  

2.250% due 09/01/50

    100,000       67,515  

2.450% due 03/01/26

    50,000       48,067  

3.400% due 01/15/38

    50,000       44,973  

3.500% due 01/15/48

    65,000       56,798  

3.550% due 03/01/36

    25,000       23,200  

3.625% due 03/03/37

    132,000       122,175  

3.700% due 03/01/46

    25,000       22,438  

3.750% due 03/03/47

    50,000       45,095  

4.850% due 05/15/41

    50,000       51,309  

5.950% due 08/15/37

    100,000       116,729  

Kaiser Foundation Hospitals

   

2.810% due 06/01/41

    65,000       47,656  

3.002% due 06/01/51

    70,000       49,342  

3.150% due 05/01/27

    225,000       212,053  

4.150% due 05/01/47

    20,000       17,679  

Kellogg Co.

   

3.400% due 11/15/27

    100,000       95,317  

4.300% due 05/15/28

    100,000       98,778  

Kenvue, Inc.

   

5.050% due 03/22/28 ~

    200,000       206,806  

5.050% due 03/22/53 ~

    200,000       206,291  

Keurig Dr Pepper, Inc.

   

2.550% due 09/15/26

    50,000       46,412  

3.430% due 06/15/27

    35,000       33,438  

4.420% due 12/15/46

    250,000       219,488  

Kimberly-Clark Corp.

   

1.050% due 09/15/27

    25,000       21,905  

2.000% due 11/02/31

    100,000       84,362  

3.050% due 08/15/25

    50,000       48,353  

3.950% due 11/01/28

    10,000       9,903  

6.625% due 08/01/37

    100,000       121,956  

Kraft Heinz Foods Co.

   

3.875% due 05/15/27

    250,000       244,296  

4.375% due 06/01/46

    500,000       436,043  

Kroger Co.

   

3.500% due 02/01/26

    50,000       48,779  

3.950% due 01/15/50

    100,000       81,802  

4.650% due 01/15/48

    100,000       89,647  

5.150% due 08/01/43

    25,000       23,681  

Laboratory Corp. of America Holdings

   

1.550% due 06/01/26

    70,000       62,717  

2.700% due 06/01/31

    100,000       86,060  

3.600% due 09/01/27

    100,000       95,219  

4.700% due 02/01/45

    50,000       44,670  

Leland Stanford Junior University
3.647% due 05/01/48

    125,000       107,453  

Mass General Brigham, Inc.
3.342% due 07/01/60

    30,000       21,521  

Massachusetts Institute of Technology

   

3.067% due 04/01/52

    100,000       78,125  

5.600% due 07/01/11

    100,000       111,895  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

198

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Mayo Clinic
3.196% due 11/15/61

    $100,000       $70,626  

McCormick & Co., Inc.

   

0.900% due 02/15/26

    95,000       85,174  

3.400% due 08/15/27

    50,000       47,451  

McKesson Corp.
1.300% due 08/15/26

    165,000       147,914  

Mead Johnson Nutrition Co. (United Kingdom)
4.600% due 06/01/44

    200,000       185,868  

Medtronic Global Holdings SCA
4.500% due 03/30/33

    200,000       200,264  

Medtronic, Inc.
4.625% due 03/15/45

    65,000       63,888  

Memorial Sloan-Kettering Cancer Center
2.955% due 01/01/50

    55,000       38,979  

Merck & Co., Inc.

   

0.750% due 02/24/26

    350,000       320,659  

1.700% due 06/10/27

    50,000       45,452  

2.150% due 12/10/31

    50,000       42,358  

3.400% due 03/07/29

    200,000       192,405  

3.600% due 09/15/42

    300,000       258,542  

4.150% due 05/18/43

    100,000       93,704  

Molson Coors Beverage Co.

   

4.200% due 07/15/46

    40,000       32,753  

5.000% due 05/01/42

    100,000       94,518  

Mondelez International, Inc.

   

1.500% due 02/04/31

    40,000       31,930  

1.875% due 10/15/32

    300,000       240,567  

2.625% due 09/04/50

    25,000       16,798  

Moody’s Corp.

   

2.000% due 08/19/31

    100,000       81,655  

2.750% due 08/19/41

    100,000       72,193  

4.875% due 12/17/48

    50,000       46,658  

Mount Sinai Hospitals Group, Inc.
3.981% due 07/01/48

    50,000       41,643  

New York & Presbyterian Hospital
3.954% due 08/01/19

    35,000       25,587  

Northwell Healthcare, Inc.
3.809% due 11/01/49

    100,000       78,467  

Northwestern University
3.662% due 12/01/57

    25,000       20,218  

Novartis Capital Corp. (Switzerland)

   

3.000% due 11/20/25

    100,000       96,903  

3.100% due 05/17/27

    30,000       28,885  

3.400% due 05/06/24

    150,000       148,128  

4.000% due 11/20/45

    100,000       92,251  

NYU Langone Hospitals
4.368% due 07/01/47

    25,000       22,001  

OhioHealth Corp.
2.297% due 11/15/31

    100,000       83,630  

PayPal Holdings, Inc.

   

1.650% due 06/01/25

    315,000       295,833  

2.300% due 06/01/30

    55,000       47,120  

3.250% due 06/01/50

    65,000       47,562  

4.400% due 06/01/32

    100,000       97,884  

5.050% due 06/01/52

    100,000       96,296  

PeaceHealth Obligated Group
1.375% due 11/15/25

    15,000       13,661  

PepsiCo, Inc.

   

1.625% due 05/01/30

    60,000       50,806  

1.950% due 10/21/31

    75,000       63,370  

2.375% due 10/06/26

    55,000       51,915  

2.750% due 04/30/25

    100,000       96,897  

2.750% due 03/19/30

    500,000       457,567  

2.750% due 10/21/51

    500,000       368,112  

3.450% due 10/06/46

    60,000       51,493  

3.500% due 07/17/25

    50,000       49,327  

4.200% due 07/18/52

    55,000       52,581  

PerkinElmer, Inc.

   

2.550% due 03/15/31

    85,000       70,475  

3.300% due 09/15/29

    30,000       26,795  
   

Principal
Amount

   

Value

 

Pfizer, Inc.

   

0.800% due 05/28/25

    $30,000       $27,840  

1.700% due 05/28/30

    350,000       294,842  

1.750% due 08/18/31

    100,000       82,546  

2.550% due 05/28/40

    25,000       18,807  

2.625% due 04/01/30

    250,000       225,800  

2.700% due 05/28/50

    25,000       17,891  

3.000% due 12/15/26

    100,000       96,359  

3.400% due 05/15/24

    150,000       148,018  

3.600% due 09/15/28

    100,000       98,023  

3.900% due 03/15/39

    25,000       22,738  

4.100% due 09/15/38

    50,000       47,050  

4.200% due 09/15/48

    35,000       32,493  

Philip Morris International, Inc.

   

0.875% due 05/01/26

    100,000       89,727  

1.750% due 11/01/30

    100,000       80,418  

3.250% due 11/10/24

    125,000       122,162  

3.375% due 08/11/25

    50,000       48,455  

4.250% due 11/10/44

    30,000       25,013  

4.500% due 03/20/42

    200,000       174,156  

4.875% due 02/13/26

    400,000       403,175  

4.875% due 02/15/28

    100,000       100,993  

5.125% due 02/15/30

    100,000       101,319  

5.375% due 02/15/33

    100,000       102,232  

6.375% due 05/16/38

    100,000       109,454  

President & Fellows of Harvard College
4.875% due 10/15/40

    100,000       104,791  

Procter & Gamble Co.

   

0.550% due 10/29/25

    50,000       45,832  

1.000% due 04/23/26

    250,000       228,889  

1.200% due 10/29/30

    50,000       40,885  

3.000% due 03/25/30

    300,000       281,530  

3.950% due 01/26/28

    100,000       100,513  

Providence St Joseph Health Obligated Group

   

2.700% due 10/01/51

    75,000       45,685  

3.930% due 10/01/48

    35,000       27,579  

Quanta Services, Inc.

   

0.950% due 10/01/24

    15,000       13,998  

2.350% due 01/15/32

    25,000       19,863  

3.050% due 10/01/41

    30,000       20,967  

Quest Diagnostics, Inc.

   

2.800% due 06/30/31

    70,000       61,249  

2.950% due 06/30/30

    55,000       49,258  

RELX Capital, Inc. (United Kingdom)
4.000% due 03/18/29

    100,000       96,484  

Reynolds American, Inc. (United Kingdom)
6.150% due 09/15/43

    300,000       284,555  

Royalty Pharma PLC

   

2.150% due 09/02/31

    55,000       43,500  

3.300% due 09/02/40

    300,000       217,723  

3.350% due 09/02/51

    60,000       39,598  

RWJ Barnabas Health, Inc.
3.477% due 07/01/49

    25,000       19,691  

S&P Global, Inc.

   

2.450% due 03/01/27

    250,000       234,620  

2.700% due 03/01/29

    200,000       182,044  

3.900% due 03/01/62

    250,000       208,016  

Shire Acquisitions Investments Ireland DAC
3.200% due 09/23/26

    250,000       238,004  

Smith & Nephew PLC (United Kingdom)
2.032% due 10/14/30

    250,000       202,884  

Stanford Health Care
3.027% due 08/15/51

    30,000       21,430  

Stryker Corp.

   

1.150% due 06/15/25

    250,000       231,068  

4.100% due 04/01/43

    100,000       87,023  

Sutter Health

   

2.294% due 08/15/30

    55,000       46,173  

3.361% due 08/15/50

    55,000       40,272  

Sysco Corp.

   

2.450% due 12/14/31

    105,000       87,548  

3.150% due 12/14/51

    125,000       87,534  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

199

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

3.250% due 07/15/27

    $50,000       $47,395  

3.750% due 10/01/25

    25,000       24,348  

4.450% due 03/15/48

    50,000       43,436  

4.500% due 04/01/46

    25,000       21,706  

4.850% due 10/01/45

    15,000       13,725  

Takeda Pharmaceutical Co. Ltd. (Japan)

   

3.175% due 07/09/50

    250,000       178,902  

5.000% due 11/26/28

    100,000       101,123  

Thermo Fisher Scientific, Inc.

   

1.215% due 10/18/24

    250,000       237,383  

1.750% due 10/15/28

    20,000       17,587  

2.000% due 10/15/31

    35,000       29,201  

2.800% due 10/15/41

    320,000       243,828  

5.300% due 02/01/44

    100,000       104,822  

Toledo Hospital
5.750% due 11/15/38

    50,000       48,936  

Trustees of Princeton University
5.700% due 03/01/39

    50,000       55,913  

Tyson Foods, Inc.

   

3.550% due 06/02/27

    350,000       334,011  

4.000% due 03/01/26

    15,000       14,740  

4.350% due 03/01/29

    20,000       19,433  

5.100% due 09/28/48

    10,000       9,438  

Unilever Capital Corp. (United Kingdom)

   

1.750% due 08/12/31

    140,000       115,121  

5.900% due 11/15/32

    50,000       56,058  

UnitedHealth Group, Inc.

   

0.550% due 05/15/24

    35,000       33,393  

1.150% due 05/15/26

    50,000       45,496  

2.000% due 05/15/30

    405,000       346,442  

2.300% due 05/15/31

    50,000       42,870  

2.375% due 08/15/24

    70,000       67,806  

2.875% due 08/15/29

    75,000       68,781  

2.900% due 05/15/50

    300,000       212,863  

3.050% due 05/15/41

    50,000       39,462  

3.250% due 05/15/51

    50,000       37,637  

3.500% due 08/15/39

    60,000       51,127  

3.700% due 12/15/25

    20,000       19,588  

3.700% due 08/15/49

    65,000       53,140  

3.750% due 07/15/25

    75,000       74,126  

3.850% due 06/15/28

    100,000       97,810  

3.875% due 12/15/28

    25,000       24,517  

3.875% due 08/15/59

    100,000       81,971  

4.200% due 05/15/32

    65,000       63,750  

4.250% due 06/15/48

    50,000       45,078  

4.450% due 12/15/48

    25,000       23,199  

4.500% due 04/15/33

    150,000       149,204  

4.750% due 07/15/45

    50,000       49,056  

5.050% due 04/15/53

    150,000       151,820  

5.150% due 10/15/25

    25,000       25,488  

5.250% due 02/15/28

    70,000       72,842  

5.350% due 02/15/33

    100,000       106,373  

5.875% due 02/15/53

    530,000       596,659  

6.875% due 02/15/38

    250,000       302,004  

University of Chicago
2.761% due 04/01/45

    10,000       7,829  

University of Notre Dame du Lac
3.394% due 02/15/48

    50,000       41,596  

University of Southern California

   

2.805% due 10/01/50

    50,000       35,193  

3.028% due 10/01/39

    50,000       41,349  

Utah Acquisition Sub, Inc.
3.950% due 06/15/26

    100,000       95,319  

Verisk Analytics, Inc.
5.750% due 04/01/33

    115,000       120,823  

Viatris, Inc.
3.850% due 06/22/40

    400,000       281,102  

Wyeth LLC

   

5.950% due 04/01/37

    50,000       56,184  

6.500% due 02/01/34

    100,000       115,091  

Zimmer Biomet Holdings, Inc.
2.600% due 11/24/31

    100,000       83,593  
   

Principal
Amount

   

Value

 

Zoetis, Inc.
5.600% due 11/16/32

    $135,000       $144,070  
   

 

 

 
      52,072,358  
   

 

 

 

Energy - 1.7%

 

Baker Hughes Holdings LLC/Baker Hughes Co.-Obligor, Inc.

   

3.337% due 12/15/27

    100,000       93,756  

4.080% due 12/15/47

    50,000       40,699  

5.125% due 09/15/40

    50,000       48,600  

Boardwalk Pipelines LP
4.950% due 12/15/24

    100,000       99,441  

BP Capital Markets America, Inc.

   

1.749% due 08/10/30

    130,000       107,638  

2.772% due 11/10/50

    130,000       88,173  

3.000% due 02/24/50

    150,000       106,396  

3.001% due 03/17/52

    50,000       35,319  

3.119% due 05/04/26

    25,000       24,071  

3.588% due 04/14/27

    100,000       96,856  

4.234% due 11/06/28

    400,000       396,751  

4.812% due 02/13/33

    535,000       543,429  

Canadian Natural Resources Ltd. (Canada)

   

2.050% due 07/15/25

    300,000       280,476  

3.800% due 04/15/24

    43,000       42,297  

3.850% due 06/01/27

    50,000       47,924  

4.950% due 06/01/47

    25,000       22,623  

6.750% due 02/01/39

    90,000       95,817  

Cenovus Energy, Inc. (Canada)

   

2.650% due 01/15/32

    65,000       53,693  

3.750% due 02/15/52

    225,000       164,165  

Cheniere Corpus Christi Holdings LLC

   

3.700% due 11/15/29

    60,000       55,312  

5.125% due 06/30/27

    300,000       300,398  

Chevron Corp.

   

1.554% due 05/11/25

    35,000       33,020  

1.995% due 05/11/27

    350,000       320,751  

2.236% due 05/11/30

    25,000       22,115  

2.954% due 05/16/26

    100,000       96,349  

3.326% due 11/17/25

    50,000       49,073  

Chevron USA, Inc.
3.850% due 01/15/28

    50,000       49,388  

ConocoPhillips Co.

   

3.758% due 03/15/42

    250,000       212,993  

4.025% due 03/15/62

    200,000       164,318  

6.950% due 04/15/29

    100,000       112,693  

Devon Energy Corp.

   

5.000% due 06/15/45

    105,000       93,476  

5.850% due 12/15/25

    50,000       50,833  

Diamondback Energy, Inc.

   

3.125% due 03/24/31

    500,000       433,900  

3.500% due 12/01/29

    100,000       91,492  

4.250% due 03/15/52

    60,000       47,174  

6.250% due 03/15/33

    300,000       317,225  

Enbridge Energy Partners LP
7.500% due 04/15/38

    50,000       58,263  

Enbridge, Inc. (Canada)

   

1.600% due 10/04/26

    55,000       49,385  

2.500% due 01/15/25

    50,000       47,931  

2.500% due 08/01/33

    400,000       322,660  

3.400% due 08/01/51

    70,000       49,446  

3.700% due 07/15/27

    100,000       95,264  

4.500% due 06/10/44

    150,000       127,589  

Energy Transfer LP

   

2.900% due 05/15/25

    40,000       38,140  

3.750% due 05/15/30

    310,000       286,345  

3.900% due 07/15/26

    100,000       96,244  

4.050% due 03/15/25

    100,000       98,128  

4.200% due 04/15/27

    100,000       95,933  

4.400% due 03/15/27

    200,000       194,473  

5.000% due 05/15/50

    350,000       299,280  

5.250% due 04/15/29

    25,000       24,928  

5.300% due 04/15/47

    100,000       87,811  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

200

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

5.750% due 02/15/33

    $350,000       $358,838  

5.950% due 10/01/43

    100,000       95,868  

6.125% due 12/15/45

    200,000       193,709  

6.500% due 02/01/42

    100,000       103,895  

Enterprise Products Operating LLC

   

3.125% due 07/31/29

    100,000       91,687  

4.150% due 10/16/28

    50,000       48,640  

4.200% due 01/31/50

    450,000       382,277  

4.250% due 02/15/48

    25,000       21,328  

4.800% due 02/01/49

    50,000       45,925  

5.350% due 01/31/33

    100,000       103,690  

5.375% due 02/15/78

    300,000       241,557  

6.125% due 10/15/39

    115,000       124,978  

6.875% due 03/01/33

    150,000       171,326  

Equinor ASA (Norway)

   

2.375% due 05/22/30

    125,000       110,457  

3.250% due 11/18/49

    200,000       154,475  

3.950% due 05/15/43

    300,000       265,009  

Exxon Mobil Corp.

   

2.019% due 08/16/24

    50,000       48,310  

2.440% due 08/16/29

    50,000       45,771  

2.610% due 10/15/30

    250,000       224,788  

2.992% due 03/19/25

    500,000       487,054  

2.995% due 08/16/39

    50,000       40,485  

3.043% due 03/01/26

    150,000       145,675  

3.452% due 04/15/51

    200,000       159,531  

4.114% due 03/01/46

    65,000       58,700  

4.327% due 03/19/50

    300,000       277,444  

Halliburton Co.

   

3.800% due 11/15/25

    6,000       5,882  

4.850% due 11/15/35

    50,000       48,102  

5.000% due 11/15/45

    342,000       311,668  

7.450% due 09/15/39

    25,000       29,016  

Hess Corp.

   

4.300% due 04/01/27

    50,000       48,847  

5.600% due 02/15/41

    50,000       48,271  

5.800% due 04/01/47

    50,000       49,072  

7.125% due 03/15/33

    50,000       55,468  

Kinder Morgan, Inc.

   

2.000% due 02/15/31

    210,000       169,668  

3.250% due 08/01/50

    220,000       146,233  

4.300% due 03/01/28

    300,000       294,983  

4.800% due 02/01/33

    100,000       96,551  

5.300% due 12/01/34

    70,000       68,777  

5.550% due 06/01/45

    350,000       331,642  

Magellan Midstream Partners LP

   

4.200% due 10/03/47

    50,000       40,067  

4.250% due 09/15/46

    70,000       55,810  

5.000% due 03/01/26

    50,000       50,452  

Marathon Oil Corp.

   

4.400% due 07/15/27

    100,000       96,955  

5.200% due 06/01/45

    50,000       43,572  

Marathon Petroleum Corp.

   

3.800% due 04/01/28

    30,000       28,631  

4.500% due 04/01/48

    25,000       20,522  

5.125% due 12/15/26

    50,000       50,498  

6.500% due 03/01/41

    100,000       106,865  

MPLX LP

   

2.650% due 08/15/30

    45,000       38,188  

4.250% due 12/01/27

    250,000       242,261  

4.500% due 04/15/38

    30,000       26,693  

4.700% due 04/15/48

    45,000       37,859  

4.875% due 12/01/24

    250,000       248,551  

4.900% due 04/15/58

    15,000       12,520  

4.950% due 03/14/52

    200,000       174,199  

5.650% due 03/01/53

    75,000       72,285  

NOV, Inc.
3.950% due 12/01/42

    100,000       74,256  

ONEOK, Inc.

   

2.200% due 09/15/25

    25,000       23,185  

3.100% due 03/15/30

    25,000       21,869  

4.000% due 07/13/27

    130,000       124,283  
   

Principal
Amount

   

Value

 

4.350% due 03/15/29

    $100,000       $94,660  

4.500% due 03/15/50

    25,000       19,409  

4.550% due 07/15/28

    50,000       48,414  

4.950% due 07/13/47

    50,000       41,983  

5.200% due 07/15/48

    25,000       21,649  

Phillips 66

   

1.300% due 02/15/26

    20,000       18,122  

3.300% due 03/15/52

    100,000       70,874  

4.650% due 11/15/34

    200,000       191,991  

4.950% due 12/01/27

    250,000       251,231  

Phillips 66 Co.

   

3.550% due 10/01/26 ~

    50,000       47,734  

4.900% due 10/01/46 ~

    25,000       22,908  

Pioneer Natural Resources Co.
2.150% due 01/15/31

    385,000       316,426  

Plains All American Pipeline LP/PAA Finance Corp.

   

4.500% due 12/15/26

    150,000       146,703  

4.650% due 10/15/25

    100,000       98,968  

4.700% due 06/15/44

    50,000       39,358  

Sabine Pass Liquefaction LLC

   

4.500% due 05/15/30

    205,000       197,842  

5.625% due 03/01/25

    165,000       166,114  

Schlumberger Investment SA
2.650% due 06/26/30

    100,000       88,456  

Shell International Finance BV (Netherlands)

   

2.500% due 09/12/26

    50,000       47,106  

2.750% due 04/06/30

    85,000       77,570  

2.875% due 05/10/26

    100,000       95,729  

2.875% due 11/26/41

    200,000       153,773  

3.000% due 11/26/51

    200,000       144,379  

3.250% due 05/11/25

    100,000       97,789  

3.250% due 04/06/50

    100,000       76,399  

3.625% due 08/21/42

    100,000       84,282  

3.750% due 09/12/46

    50,000       42,297  

4.000% due 05/10/46

    100,000       87,525  

4.125% due 05/11/35

    263,000       252,230  

Spectra Energy Partners LP
3.375% due 10/15/26

    20,000       18,962  

Suncor Energy, Inc. (Canada)

   

4.000% due 11/15/47

    70,000       56,098  

6.800% due 05/15/38

    200,000       220,035  

Targa Resources Corp.

   

5.200% due 07/01/27

    85,000       84,349  

6.125% due 03/15/33

    70,000       72,526  

6.250% due 07/01/52

    200,000       197,564  

TC PipeLines LP
3.900% due 05/25/27

    20,000       19,329  

TotalEnergies Capital International SA (France)

   

2.434% due 01/10/25

    50,000       48,359  

2.829% due 01/10/30

    50,000       45,643  

3.127% due 05/29/50

    100,000       74,260  

3.461% due 07/12/49

    50,000       39,694  

TotalEnergies Capital SA (France)
3.883% due 10/11/28

    25,000       24,647  

TransCanada PipeLines Ltd. (Canada)

   

1.000% due 10/12/24

    420,000       393,994  

4.100% due 04/15/30

    200,000       187,729  

4.250% due 05/15/28

    50,000       48,554  

5.100% due 03/15/49

    50,000       46,552  

7.625% due 01/15/39

    50,000       59,477  

Transcontinental Gas Pipe Line Co. LLC

   

3.250% due 05/15/30

    25,000       22,656  

4.000% due 03/15/28

    50,000       47,877  

4.450% due 08/01/42

    150,000       132,059  

Valero Energy Corp.

   

2.150% due 09/15/27

    100,000       90,360  

2.800% due 12/01/31

    100,000       84,152  

6.625% due 06/15/37

    150,000       164,230  

Western Midstream Operating LP

   

4.300% due 02/01/30

    200,000       182,250  

6.150% due 04/01/33

    40,000       40,592  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

201

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Williams Cos., Inc.

   

2.600% due 03/15/31

    $350,000       $294,570  

3.750% due 06/15/27

    50,000       48,011  

4.550% due 06/24/24

    85,000       84,405  

5.100% due 09/15/45

    100,000       91,653  

5.300% due 08/15/52

    250,000       236,391  

5.400% due 03/02/26

    70,000       71,356  

5.750% due 06/24/44

    35,000       34,297  

6.300% due 04/15/40

    20,000       21,079  
   

 

 

 
      20,431,203  
   

 

 

 

Financial - 9.6%

   

AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)

   

1.650% due 10/29/24

    150,000       140,416  

1.750% due 10/29/24

    150,000       139,855  

2.450% due 10/29/26

    150,000       134,813  

3.300% due 01/30/32

    150,000       124,379  

3.875% due 01/23/28

    150,000       138,531  

6.500% due 07/15/25

    250,000       252,012  

Affiliated Managers Group, Inc.
3.500% due 08/01/25

    50,000       48,240  

African Development Bank (Ivory Coast)

   

0.875% due 03/23/26

    400,000       366,083  

0.875% due 07/22/26

    116,000       104,872  

Air Lease Corp.

   

0.800% due 08/18/24

    40,000       37,329  

2.100% due 09/01/28

    300,000       250,276  

2.300% due 02/01/25

    100,000       94,728  

3.000% due 02/01/30

    100,000       85,651  

3.250% due 03/01/25

    100,000       96,137  

5.300% due 02/01/28

    300,000       296,323  

Aircastle Ltd.
4.125% due 05/01/24

    30,000       29,387  

Alexandria Real Estate Equities, Inc. REIT

   

2.750% due 12/15/29

    50,000       42,996  

2.950% due 03/15/34

    40,000       32,051  

3.375% due 08/15/31

    60,000       53,284  

3.550% due 03/15/52

    70,000       48,923  

3.950% due 01/15/27

    25,000       24,128  

4.000% due 02/01/50

    100,000       76,168  

4.500% due 07/30/29

    20,000       19,390  

4.750% due 04/15/35

    20,000       18,764  

Allstate Corp.
3.280% due 12/15/26

    350,000       332,487  

Ally Financial, Inc.
5.800% due 05/01/25

    200,000       193,271  

American Express Co.

   

2.500% due 07/30/24

    35,000       33,814  

3.000% due 10/30/24

    50,000       48,439  

3.300% due 05/03/27

    415,000       394,503  

3.375% due 05/03/24

    55,000       53,936  

3.950% due 08/01/25

    250,000       245,303  

4.050% due 12/03/42

    125,000       115,767  

5.850% due 11/05/27

    60,000       62,997  

American Financial Group, Inc.
4.500% due 06/15/47

    50,000       42,211  

American Homes 4 Rent LP REIT
3.625% due 04/15/32

    70,000       60,713  

American International Group, Inc.

   

4.375% due 06/30/50

    100,000       85,565  

4.800% due 07/10/45

    50,000       45,497  

5.125% due 03/27/33

    165,000       164,111  

American Tower Corp. REIT

   

1.875% due 10/15/30

    200,000       158,749  

2.300% due 09/15/31

    350,000       280,842  

2.900% due 01/15/30

    50,000       43,514  

2.950% due 01/15/25

    100,000       96,320  

3.100% due 06/15/50

    50,000       32,882  

3.375% due 10/15/26

    100,000       94,812  

3.600% due 01/15/28

    100,000       93,885  

Ameriprise Financial, Inc.
5.150% due 05/15/33

    60,000       59,881  
   

Principal
Amount

   

Value

 

Aon Corp./Aon Global Holdings PLC

   

2.050% due 08/23/31

    $100,000       $80,857  

2.900% due 08/23/51

    100,000       66,873  

4.500% due 12/15/28

    200,000       196,207  

Arch Capital Group Ltd.
3.635% due 06/30/50

    200,000       149,740  

Arch Capital Group US, Inc.
5.144% due 11/01/43

    200,000       188,137  

Ares Capital Corp.

   

2.150% due 07/15/26

    350,000       300,567  

3.250% due 07/15/25

    50,000       45,727  

Arthur J Gallagher & Co.
5.500% due 03/02/33

    265,000       271,009  

Asian Development Bank (Multi-National)

   

0.375% due 06/11/24

    180,000       171,522  

0.500% due 02/04/26

    400,000       363,842  

0.625% due 04/29/25

    500,000       465,828  

1.000% due 04/14/26

    200,000       183,607  

1.250% due 06/09/28

    50,000       44,244  

1.500% due 10/18/24

    150,000       143,757  

1.750% due 08/14/26

    250,000       233,793  

2.625% due 01/12/27

    200,000       191,925  

2.750% due 01/19/28

    100,000       95,892  

2.875% due 05/06/25

    225,000       219,464  

3.125% due 09/26/28

    200,000       193,840  

3.875% due 09/28/32

    120,000       121,857  

4.000% due 01/12/33

    85,000       87,098  

4.125% due 09/27/24

    250,000       248,864  

Asian Infrastructure Investment Bank (Multi-National)

   

0.500% due 05/28/25

    150,000       138,722  

2.250% due 05/16/24

    250,000       243,679  

3.375% due 06/29/25

    200,000       196,519  

4.000% due 01/18/28

    100,000       100,404  

Assurant, Inc.
4.900% due 03/27/28

    100,000       98,396  

Assured Guaranty US Holdings, Inc.
3.150% due 06/15/31

    70,000       60,093  

Athene Holding Ltd.

   

3.450% due 05/15/52

    100,000       63,399  

3.500% due 01/15/31

    20,000       16,646  

6.650% due 02/01/33

    100,000       101,651  

AvalonBay Communities, Inc. REIT

   

2.050% due 01/15/32

    200,000       162,026  

2.450% due 01/15/31

    105,000       88,569  

3.350% due 05/15/27

    25,000       23,586  

4.150% due 07/01/47

    50,000       41,456  

AXA SA (France)
8.600% due 12/15/30

    75,000       90,372  

Banco Bilbao Vizcaya Argentaria SA (Spain)
6.138% due 09/14/28

    200,000       203,411  

Banco Santander SA (Spain)

   

1.722% due 09/14/27

    200,000       174,786  

2.706% due 06/27/24

    200,000       193,246  

2.749% due 12/03/30

    200,000       156,235  

3.892% due 05/24/24

    200,000       195,664  

5.294% due 08/18/27

    200,000       197,009  

Bank of America Corp.

   

1.197% due 10/24/26

    100,000       89,891  

1.319% due 06/19/26

    500,000       457,426  

1.530% due 12/06/25

    200,000       187,135  

1.658% due 03/11/27

    350,000       317,145  

1.734% due 07/22/27

    410,000       367,987  

1.922% due 10/24/31

    100,000       79,822  

2.015% due 02/13/26

    100,000       93,770  

2.299% due 07/21/32

    100,000       80,665  

2.456% due 10/22/25

    50,000       47,632  

2.482% due 09/21/36

    200,000       152,028  

2.496% due 02/13/31

    100,000       84,768  

2.572% due 10/20/32

    100,000       81,801  

2.592% due 04/29/31

    500,000       423,725  

2.651% due 03/11/32

    100,000       83,552  

2.676% due 06/19/41

    350,000       247,902  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

202

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

2.831% due 10/24/51

    $25,000       $16,361  

2.884% due 10/22/30

    50,000       43,532  

2.972% due 02/04/33

    350,000       294,966  

2.972% due 07/21/52

    100,000       67,519  

3.248% due 10/21/27

    150,000       141,440  

3.311% due 04/22/42

    400,000       310,180  

3.366% due 01/23/26

    100,000       96,250  

3.384% due 04/02/26

    100,000       95,948  

3.419% due 12/20/28

    169,000       157,154  

3.483% due 03/13/52

    100,000       75,415  

3.500% due 04/19/26

    150,000       144,304  

3.593% due 07/21/28

    100,000       94,052  

3.824% due 01/20/28

    300,000       286,914  

3.846% due 03/08/37

    400,000       341,399  

3.875% due 08/01/25

    100,000       97,808  

3.946% due 01/23/49

    100,000       81,343  

3.950% due 04/21/25

    200,000       193,655  

3.970% due 03/05/29

    100,000       94,791  

4.078% due 04/23/40

    200,000       174,352  

4.083% due 03/20/51

    350,000       288,155  

4.183% due 11/25/27

    100,000       96,723  

4.450% due 03/03/26

    85,000       83,083  

4.750% due 04/21/45

    85,000       78,949  

5.015% due 07/22/33

    250,000       247,442  

5.080% due 01/20/27

    800,000       798,111  

6.110% due 01/29/37

    250,000       263,459  

6.204% due 11/10/28

    65,000       68,008  

7.750% due 05/14/38

    200,000       239,804  

Bank of Montreal (Canada)

   

0.949% due 01/22/27

    100,000       89,393  

3.700% due 06/07/25

    165,000       160,374  

5.200% due 12/12/24

    225,000       225,389  

5.203% due 02/01/28

    300,000       302,621  

Bank of New York Mellon Corp.

   

0.500% due 04/26/24

    250,000       237,906  

1.600% due 04/24/25

    300,000       279,029  

2.800% due 05/04/26

    50,000       47,047  

3.000% due 10/30/28

    55,000       49,765  

3.350% due 04/25/25

    100,000       96,382  

3.400% due 05/15/24

    100,000       98,341  

4.706% due 02/01/34

    130,000       128,789  

5.802% due 10/25/28

    500,000       521,347  

Bank of Nova Scotia (Canada)

   

0.650% due 07/31/24

    70,000       66,015  

0.700% due 04/15/24

    85,000       81,104  

1.300% due 06/11/25

    100,000       92,254  

1.300% due 09/15/26

    50,000       44,154  

2.450% due 02/02/32

    100,000       82,508  

3.450% due 04/11/25

    60,000       58,225  

4.588% due 05/04/37

    40,000       35,293  

4.750% due 02/02/26

    240,000       239,086  

5.250% due 12/06/24

    335,000       335,927  

Barclays PLC (United Kingdom)

   

2.645% due 06/24/31

    200,000       160,897  

2.894% due 11/24/32

    200,000       160,522  

3.330% due 11/24/42

    200,000       143,975  

4.337% due 01/10/28

    300,000       285,946  

4.375% due 01/12/26

    200,000       193,232  

4.950% due 01/10/47

    200,000       178,109  

7.385% due 11/02/28

    200,000       212,169  

Berkshire Hathaway Finance Corp.

   

1.450% due 10/15/30

    80,000       65,728  

2.500% due 01/15/51

    410,000       264,522  

2.850% due 10/15/50

    90,000       63,623  

3.850% due 03/15/52

    200,000       167,844  

4.300% due 05/15/43

    200,000       185,052  

5.750% due 01/15/40

    25,000       27,662  

BlackRock, Inc.

   

1.900% due 01/28/31

    15,000       12,469  

2.100% due 02/25/32

    100,000       83,190  

2.400% due 04/30/30

    45,000       39,517  

3.200% due 03/15/27

    56,000       53,780  
   

Principal
Amount

   

Value

 

3.250% due 04/30/29

    $60,000       $57,090  

Blackstone Private Credit Fund

   

2.625% due 12/15/26

    100,000       84,116  

3.250% due 03/15/27

    150,000       127,606  

7.050% due 09/29/25 ~

    50,000       49,365  

Blackstone Secured Lending Fund
2.750% due 09/16/26

    100,000       86,645  

Boston Properties LP REIT

   

2.450% due 10/01/33

    50,000       33,697  

2.550% due 04/01/32

    250,000       178,480  

3.250% due 01/30/31

    150,000       118,825  

Brandywine Operating Partnership LP REIT
4.550% due 10/01/29

    50,000       36,864  

Brighthouse Financial, Inc.

   

3.700% due 06/22/27

    100,000       91,989  

4.700% due 06/22/47

    50,000       36,610  

Brixmor Operating Partnership LP REIT

   

2.500% due 08/16/31

    50,000       38,681  

4.050% due 07/01/30

    10,000       9,043  

4.125% due 06/15/26

    50,000       47,435  

Brookfield Finance, Inc. (Canada)

   

3.500% due 03/30/51

    50,000       33,376  

4.000% due 04/01/24

    50,000       49,010  

4.700% due 09/20/47

    50,000       43,260  

4.850% due 03/29/29

    100,000       96,389  

Brown & Brown, Inc.

   

4.200% due 03/17/32

    35,000       31,500  

4.500% due 03/15/29

    50,000       48,284  

4.950% due 03/17/52

    200,000       171,375  

Camden Property Trust REIT

   

3.150% due 07/01/29

    30,000       26,705  

4.100% due 10/15/28

    20,000       19,333  

Canadian Imperial Bank of Commerce (Canada)

   

0.950% due 10/23/25

    20,000       18,116  

1.250% due 06/22/26

    100,000       88,954  

3.100% due 04/02/24

    150,000       146,574  

3.600% due 04/07/32

    45,000       40,997  

Capital One Financial Corp.

   

1.878% due 11/02/27

    100,000       86,204  

2.618% due 11/02/32

    100,000       76,289  

3.200% due 02/05/25

    200,000       188,110  

3.300% due 10/30/24

    100,000       95,530  

3.750% due 07/28/26

    250,000       227,572  

3.750% due 03/09/27

    50,000       45,545  

3.800% due 01/31/28

    200,000       183,631  

4.927% due 05/10/28

    100,000       96,165  

4.985% due 07/24/26

    100,000       96,477  

5.468% due 02/01/29

    65,000       63,407  

CBRE Services, Inc.
4.875% due 03/01/26

    100,000       98,539  

Charles Schwab Corp.

   

0.900% due 03/11/26

    135,000       118,524  

1.150% due 05/13/26

    75,000       65,944  

1.950% due 12/01/31

    100,000       77,213  

2.300% due 05/13/31

    150,000       121,196  

2.450% due 03/03/27

    250,000       224,340  

3.200% due 03/02/27

    100,000       92,405  

3.750% due 04/01/24

    50,000       49,132  

3.850% due 05/21/25

    100,000       96,269  

Chubb INA Holdings, Inc.

   

1.375% due 09/15/30

    250,000       202,421  

2.850% due 12/15/51

    25,000       17,675  

3.050% due 12/15/61

    10,000       6,762  

3.150% due 03/15/25

    100,000       97,638  

4.150% due 03/13/43

    25,000       21,791  

Citigroup, Inc.

   

0.981% due 05/01/25

    50,000       47,524  

1.122% due 01/28/27

    750,000       669,095  

1.281% due 11/03/25

    30,000       28,045  

1.462% due 06/09/27

    100,000       88,867  

2.014% due 01/25/26

    145,000       136,634  

2.520% due 11/03/32

    70,000       57,036  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

203

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

2.561% due 05/01/32

    $55,000       $45,667  

2.572% due 06/03/31

    600,000       506,575  

2.666% due 01/29/31

    150,000       128,130  

2.904% due 11/03/42

    50,000       35,853  

2.976% due 11/05/30

    100,000       87,633  

3.057% due 01/25/33

    135,000       114,345  

3.070% due 02/24/28

    650,000       604,955  

3.106% due 04/08/26

    200,000       191,343  

3.290% due 03/17/26

    100,000       95,905  

3.400% due 05/01/26

    100,000       95,510  

3.520% due 10/27/28

    100,000       93,553  

3.668% due 07/24/28

    100,000       94,812  

3.750% due 06/16/24

    100,000       98,297  

3.785% due 03/17/33

    450,000       403,811  

3.875% due 03/26/25

    100,000       96,944  

3.878% due 01/24/39

    100,000       85,122  

3.887% due 01/10/28

    100,000       95,637  

4.000% due 08/05/24

    50,000       49,164  

4.125% due 07/25/28

    100,000       94,507  

4.300% due 11/20/26

    100,000       96,835  

4.750% due 05/18/46

    50,000       44,348  

5.300% due 05/06/44

    400,000       381,346  

6.125% due 08/25/36

    100,000       103,407  

6.270% due 11/17/33

    235,000       254,354  

Citizens Bank NA
4.119% due 05/23/25

    250,000       236,135  

CME Group, Inc.

   

3.000% due 03/15/25

    50,000       48,490  

3.750% due 06/15/28

    100,000       98,025  

4.150% due 06/15/48

    50,000       45,515  

CNA Financial Corp.

   

3.450% due 08/15/27

    100,000       94,624  

4.500% due 03/01/26

    50,000       49,541  

Comerica Bank
4.000% due 07/27/25

    250,000       204,344  

Cooperatieve Rabobank UA (Netherlands)

   

3.375% due 05/21/25

    250,000       241,151  

5.250% due 05/24/41

    200,000       213,151  

Corebridge Financial, Inc.
3.650% due 04/05/27 ~

    500,000       469,062  

Corp Andina de Fomento (Multi-National)
2.250% due 02/08/27

    200,000       183,394  

Corporate Office Properties LP REIT

   

2.250% due 03/15/26

    35,000       30,934  

2.900% due 12/01/33

    65,000       45,406  

Council Of Europe Development Bank
(Multi-National)
3.625% due 01/26/28

    250,000       247,748  

Credit Suisse AG (Switzerland)

   

3.700% due 02/21/25

    250,000       237,607  

5.000% due 07/09/27

    300,000       289,500  

Credit Suisse Group AG (Switzerland)
3.750% due 03/26/25

    250,000       230,617  

Crown Castle, Inc. REIT

   

2.100% due 04/01/31

    200,000       163,533  

3.200% due 09/01/24

    35,000       34,013  

3.250% due 01/15/51

    200,000       137,964  

3.650% due 09/01/27

    35,000       33,217  

3.700% due 06/15/26

    35,000       33,763  

3.800% due 02/15/28

    50,000       47,485  

4.000% due 03/01/27

    40,000       38,778  

4.300% due 02/15/29

    60,000       57,900  

4.450% due 02/15/26

    35,000       34,564  

4.750% due 05/15/47

    25,000       21,970  

5.000% due 01/11/28

    35,000       35,297  

CubeSmart LP REIT

   

2.000% due 02/15/31

    15,000       11,806  

3.125% due 09/01/26

    50,000       47,407  

Deutsche Bank AG (Germany)

   

2.129% due 11/24/26

    350,000       301,917  

2.552% due 01/07/28

    150,000       127,465  

3.547% due 09/18/31

    500,000       410,437  
   

Principal
Amount

   

Value

 

3.700% due 05/30/24

    $285,000       $270,674  

Digital Realty Trust LP REIT

   

3.700% due 08/15/27

    50,000       46,198  

4.450% due 07/15/28

    100,000       94,168  

Discover Bank
3.450% due 07/27/26

    250,000       231,095  

Enstar Group Ltd.
4.950% due 06/01/29

    25,000       23,519  

EPR Properties REIT
3.600% due 11/15/31

    30,000       22,488  

Equinix, Inc. REIT

   

2.000% due 05/15/28

    35,000       29,951  

2.150% due 07/15/30

    350,000       286,395  

2.500% due 05/15/31

    100,000       82,407  

2.625% due 11/18/24

    65,000       62,599  

3.400% due 02/15/52

    10,000       7,033  

Equitable Holdings, Inc.
4.350% due 04/20/28

    300,000       288,433  

ERP Operating LP REIT

   

2.850% due 11/01/26

    70,000       65,476  

3.500% due 03/01/28

    100,000       93,959  

4.500% due 06/01/45

    75,000       65,099  

Essex Portfolio LP REIT

   

2.550% due 06/15/31

    65,000       53,502  

2.650% due 03/15/32

    30,000       24,505  

3.375% due 04/15/26

    50,000       47,768  

3.875% due 05/01/24

    50,000       49,329  

4.000% due 03/01/29

    25,000       23,582  

European Bank for Reconstruction & Development (United Kingdom)

   

0.500% due 01/28/26

    300,000       272,573  

4.375% due 03/09/28

    120,000       123,562  

European Investment Bank (Multi-National)

   

0.375% due 03/26/26

    300,000       271,018  

0.625% due 10/21/27

    250,000       217,896  

0.750% due 10/26/26

    83,000       74,655  

1.250% due 02/14/31

    300,000       254,339  

1.375% due 03/15/27

    350,000       320,015  

1.625% due 03/14/25

    230,000       219,470  

1.625% due 10/09/29

    195,000       172,340  

2.250% due 06/24/24

    250,000       243,620  

2.750% due 08/15/25

    600,000       583,894  

3.750% due 02/14/33

    325,000       329,163  

3.875% due 03/15/28

    400,000       403,454  

Extra Space Storage LP REIT
3.900% due 04/01/29

    220,000       202,890  

Fairfax Financial Holdings Ltd. (Canada)
5.625% due 08/16/32 ~

    150,000       147,594  

Federal Realty Investment Trust REIT

   

1.250% due 02/15/26

    300,000       273,958  

4.500% due 12/01/44

    50,000       40,776  

Fidelity National Financial, Inc.

   

3.400% due 06/15/30

    200,000       175,204  

4.500% due 08/15/28

    50,000       48,469  

Fifth Third Bancorp

   

1.707% due 11/01/27

    155,000       131,111  

2.550% due 05/05/27

    60,000       51,758  

4.772% due 07/28/30

    200,000       185,156  

8.250% due 03/01/38

    25,000       28,219  

FS KKR Capital Corp.

   

2.625% due 01/15/27

    100,000       84,267  

3.250% due 07/15/27

    50,000       42,415  

4.125% due 02/01/25

    50,000       47,339  

Globe Life, Inc.
4.550% due 09/15/28

    50,000       49,466  

GLP Capital LP/GLP Financing II, Inc. REIT

   

3.250% due 01/15/32

    50,000       40,613  

4.000% due 01/15/31

    50,000       42,936  

5.250% due 06/01/25

    25,000       24,438  

5.375% due 04/15/26

    50,000       48,570  

5.750% due 06/01/28

    25,000       24,418  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

204

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Goldman Sachs Group, Inc.

   

1.093% due 12/09/26

    $290,000       $259,909  

1.431% due 03/09/27

    80,000       71,660  

1.542% due 09/10/27

    100,000       88,054  

1.948% due 10/21/27

    250,000       223,589  

2.383% due 07/21/32

    70,000       56,878  

2.615% due 04/22/32

    70,000       58,353  

2.640% due 02/24/28

    250,000       228,273  

2.650% due 10/21/32

    250,000       206,736  

2.908% due 07/21/42

    60,000       43,034  

3.102% due 02/24/33

    250,000       214,884  

3.210% due 04/22/42

    60,000       45,290  

3.272% due 09/29/25

    255,000       247,541  

3.436% due 02/24/43

    450,000       347,753  

3.500% due 01/23/25

    150,000       145,824  

3.500% due 04/01/25

    100,000       97,156  

3.500% due 11/16/26

    100,000       95,594  

3.615% due 03/15/28

    200,000       189,403  

3.750% due 05/22/25

    150,000       145,755  

3.750% due 02/25/26

    60,000       58,370  

3.800% due 03/15/30

    250,000       233,079  

3.814% due 04/23/29

    150,000       141,030  

3.850% due 01/26/27

    160,000       154,490  

4.017% due 10/31/38

    100,000       86,665  

4.223% due 05/01/29

    200,000       191,792  

4.411% due 04/23/39

    450,000       405,462  

4.482% due 08/23/28

    500,000       489,432  

4.750% due 10/21/45

    100,000       92,499  

6.750% due 10/01/37

    200,000       216,655  

Golub Capital BDC, Inc.
2.500% due 08/24/26

    60,000       51,513  

Hartford Financial Services Group, Inc.
2.900% due 09/15/51

    100,000       67,473  

Healthcare Realty Holdings LP REIT

   

2.000% due 03/15/31

    25,000       19,537  

3.100% due 02/15/30

    50,000       43,399  

Healthpeak OP LLC REIT

   

2.875% due 01/15/31

    200,000       171,839  

3.000% due 01/15/30

    100,000       87,833  

3.400% due 02/01/25

    7,000       6,789  

Hercules Capital, Inc.
3.375% due 01/20/27

    35,000       30,083  

Highwoods Realty LP REIT

   

4.125% due 03/15/28

    20,000       17,749  

4.200% due 04/15/29

    50,000       41,374  

Host Hotels & Resorts LP REIT

   

3.375% due 12/15/29

    25,000       21,176  

3.500% due 09/15/30

    100,000       84,577  

HSBC Holdings PLC (United Kingdom)

   

1.645% due 04/18/26

    250,000       228,495  

2.251% due 11/22/27

    250,000       221,994  

2.357% due 08/18/31

    250,000       201,704  

2.804% due 05/24/32

    200,000       163,444  

2.848% due 06/04/31

    200,000       168,136  

2.999% due 03/10/26

    200,000       188,797  

3.900% due 05/25/26

    200,000       189,983  

3.973% due 05/22/30

    290,000       261,918  

4.250% due 08/18/25

    200,000       190,383  

4.375% due 11/23/26

    200,000       191,037  

4.762% due 03/29/33

    300,000       271,437  

5.210% due 08/11/28

    300,000       297,196  

6.254% due 03/09/34

    200,000       209,262  

6.800% due 06/01/38

    150,000       156,329  

7.336% due 11/03/26

    200,000       207,710  

HSBC USA, Inc.
3.500% due 06/23/24

    250,000       243,594  

Hudson Pacific Properties LP REIT
4.650% due 04/01/29

    50,000       35,139  

Huntington Bancshares, Inc.

   

2.625% due 08/06/24

    300,000       281,443  

5.023% due 05/17/33

    70,000       63,784  

ING Groep NV (Netherlands)

   

4.252% due 03/28/33

    200,000       182,883  

4.550% due 10/02/28

    200,000       191,956  
   

Principal
Amount

   

Value

 

Inter-American Development Bank (Multi-National)

   

0.500% due 09/23/24

    $150,000       $141,838  

0.625% due 07/15/25

    700,000       648,783  

0.875% due 04/20/26

    250,000       228,473  

1.125% due 07/20/28

    300,000       262,585  

1.125% due 01/13/31

    150,000       124,357  

1.750% due 03/14/25

    300,000       286,725  

2.000% due 06/02/26

    150,000       141,342  

2.000% due 07/23/26

    100,000       94,233  

3.200% due 08/07/42

    100,000       87,395  

3.250% due 07/01/24

    175,000       172,443  

3.500% due 09/14/29

    200,000       197,653  

4.000% due 01/12/28

    100,000       101,196  

Inter-American Investment Corp. (Supranational)
4.125% due 02/15/28

    150,000       151,066  

Intercontinental Exchange, Inc.

   

1.850% due 09/15/32

    65,000       51,016  

2.650% due 09/15/40

    65,000       47,198  

3.000% due 09/15/60

    65,000       42,876  

3.100% due 09/15/27

    100,000       94,524  

5.200% due 06/15/62

    350,000       351,396  

International Bank for Reconstruction & Development (Multi-National)

   

0.375% due 07/28/25

    350,000       322,272  

0.500% due 10/28/25

    200,000       183,341  

0.625% due 04/22/25

    1,100,000       1,025,486  

0.750% due 11/24/27

    195,000       170,447  

0.875% due 05/14/30

    350,000       288,247  

1.125% due 09/13/28

    160,000       139,674  

1.250% due 02/10/31

    500,000       418,907  

1.375% due 04/20/28

    250,000       223,446  

1.625% due 01/15/25

    150,000       143,303  

1.625% due 11/03/31

    190,000       162,052  

1.750% due 10/23/29

    100,000       88,719  

2.500% due 03/29/32

    200,000       182,615  

3.125% due 11/20/25

    50,000       48,986  

3.125% due 06/15/27

    600,000       586,362  

3.625% due 09/21/29

    250,000       248,980  

International Finance Corp. (Multi-National)

   

0.750% due 10/08/26

    100,000       90,027  

0.750% due 08/27/30

    250,000       203,174  

1.375% due 10/16/24

    90,000       86,035  

3.625% due 09/15/25

    67,000       66,502  

Invesco Finance PLC
5.375% due 11/30/43

    200,000       198,138  

Invitation Homes Operating Partnership LP REIT
2.000% due 08/15/31

    300,000       230,481  

Jackson Financial, Inc.
5.170% due 06/08/27

    55,000       54,891  

Jefferies Financial Group, Inc.

   

2.625% due 10/15/31

    100,000       76,516  

2.750% due 10/15/32

    40,000       30,902  

JPMorgan Chase & Co.

   

0.768% due 08/09/25

    350,000       328,826  

0.824% due 06/01/25

    170,000       161,184  

0.969% due 06/23/25

    300,000       284,361  

1.040% due 02/04/27

    500,000       446,685  

1.045% due 11/19/26

    100,000       89,323  

1.470% due 09/22/27

    75,000       66,210  

1.561% due 12/10/25

    100,000       93,849  

1.578% due 04/22/27

    65,000       58,450  

1.764% due 11/19/31

    100,000       79,433  

2.069% due 06/01/29

    140,000       121,577  

2.083% due 04/22/26

    250,000       234,063  

2.182% due 06/01/28

    650,000       582,757  

2.301% due 10/15/25

    615,000       588,413  

2.525% due 11/19/41

    100,000       69,186  

2.545% due 11/08/32

    375,000       311,176  

2.580% due 04/22/32

    75,000       63,162  

2.595% due 02/24/26

    100,000       94,833  

2.739% due 10/15/30

    75,000       65,524  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

205

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

2.947% due 02/24/28

    $60,000       $55,668  

2.956% due 05/13/31

    65,000       56,226  

2.963% due 01/25/33

    100,000       85,587  

3.109% due 04/22/51

    250,000       177,498  

3.157% due 04/22/42

    300,000       228,567  

3.200% due 06/15/26

    100,000       95,911  

3.328% due 04/22/52

    70,000       51,432  

3.509% due 01/23/29

    185,000       173,258  

3.540% due 05/01/28

    100,000       94,647  

3.625% due 05/13/24

    200,000       197,544  

3.702% due 05/06/30

    150,000       139,596  

3.882% due 07/24/38

    150,000       132,465  

3.964% due 11/15/48

    100,000       82,970  

4.032% due 07/24/48

    150,000       126,612  

4.080% due 04/26/26

    250,000       245,592  

4.452% due 12/05/29

    150,000       145,801  

4.851% due 07/25/28

    500,000       499,524  

4.912% due 07/25/33

    500,000       497,415  

5.500% due 10/15/40

    100,000       103,528  

5.546% due 12/15/25

    200,000       201,478  

5.600% due 07/15/41

    100,000       104,206  

5.717% due 09/14/33

    190,000       194,786  

6.400% due 05/15/38

    300,000       341,363  

KeyBank NA
5.850% due 11/15/27

    250,000       246,041  

KeyCorp

   

2.250% due 04/06/27

    350,000       297,755  

4.150% due 10/29/25

    30,000       28,187  

Kimco Realty OP LLC REIT

   

2.250% due 12/01/31

    70,000       54,934  

3.700% due 10/01/49

    25,000       18,037  

4.125% due 12/01/46

    50,000       38,057  

Kite Realty Group Trust REIT
4.750% due 09/15/30

    25,000       22,631  

Kreditanstalt fuer Wiederaufbau (Germany)

   

0.375% due 07/18/25

    250,000       230,325  

0.625% due 01/22/26

    730,000       666,838  

1.250% due 01/31/25

    500,000       474,163  

1.375% due 08/05/24

    400,000       384,235  

1.750% due 09/14/29

    100,000       89,031  

2.500% due 11/20/24

    375,000       364,460  

3.000% due 05/20/27

    200,000       194,206  

3.750% due 02/15/28

    440,000       440,805  

3.863% due 06/29/37

    200,000       116,504  

Landwirtschaftliche Rentenbank (Germany)

   

0.500% due 05/27/25

    200,000       185,280  

0.875% due 09/03/30

    200,000       163,022  

1.750% due 07/27/26

    100,000       93,379  

Lazard Group LLC

   

3.625% due 03/01/27

    50,000       46,941  

4.375% due 03/11/29

    50,000       47,727  

Legg Mason, Inc.
4.750% due 03/15/26

    50,000       49,604  

Life Storage LP REIT
4.000% due 06/15/29

    100,000       91,971  

Lincoln National Corp.

   

3.625% due 12/12/26

    150,000       137,374  

3.800% due 03/01/28

    35,000       31,600  

4.350% due 03/01/48

    25,000       19,129  

Lloyds Banking Group PLC (United Kingdom)

   

3.750% due 03/18/28

    200,000       186,000  

3.870% due 07/09/25

    500,000       486,268  

4.582% due 12/10/25

    200,000       188,952  

7.953% due 11/15/33

    200,000       221,615  

LXP Industrial Trust REIT
2.375% due 10/01/31

    70,000       53,989  

M&T Bank Corp.
4.553% due 08/16/28

    65,000       60,206  

Main Street Capital Corp.
3.000% due 07/14/26

    100,000       87,306  

Manufacturers & Traders Trust Co.
4.650% due 01/27/26

    300,000       282,759  
   

Principal
Amount

   

Value

 

Manulife Financial Corp. (Canada)

   

3.703% due 03/16/32

    $100,000       $92,123  

4.150% due 03/04/26

    50,000       49,254  

5.375% due 03/04/46

    50,000       50,440  

Markel Corp.

   

3.450% due 05/07/52

    70,000       49,490  

3.500% due 11/01/27

    50,000       47,611  

5.000% due 05/20/49

    30,000       27,637  

Marsh & McLennan Cos., Inc.

   

2.375% due 12/15/31

    45,000       37,279  

3.500% due 03/10/25

    75,000       73,105  

3.750% due 03/14/26

    100,000       97,895  

4.200% due 03/01/48

    100,000       85,951  

4.375% due 03/15/29

    70,000       69,443  

5.750% due 11/01/32

    100,000       107,455  

Mastercard, Inc.

   

1.900% due 03/15/31

    100,000       85,090  

2.000% due 11/18/31

    200,000       168,966  

2.950% due 11/21/26

    50,000       47,794  

2.950% due 06/01/29

    50,000       46,405  

2.950% due 03/15/51

    45,000       33,951  

3.650% due 06/01/49

    50,000       42,753  

3.800% due 11/21/46

    50,000       43,907  

3.950% due 02/26/48

    15,000       13,520  

MetLife, Inc.

   

4.550% due 03/23/30

    350,000       346,113  

5.700% due 06/15/35

    100,000       105,954  

5.875% due 02/06/41

    200,000       208,834  

6.375% due 06/15/34

    100,000       111,758  

Mid-America Apartments LP REIT

   

3.600% due 06/01/27

    100,000       95,510  

3.950% due 03/15/29

    25,000       24,001  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

0.962% due 10/11/25

    200,000       186,388  

1.640% due 10/13/27

    200,000       175,926  

2.048% due 07/17/30

    200,000       163,621  

2.852% due 01/19/33

    200,000       165,144  

3.677% due 02/22/27

    100,000       96,211  

3.777% due 03/02/25

    50,000       48,643  

3.850% due 03/01/26

    200,000       192,031  

3.961% due 03/02/28

    50,000       48,153  

4.050% due 09/11/28

    150,000       146,288  

4.788% due 07/18/25

    250,000       247,677  

5.441% due 02/22/34

    200,000       202,232  

5.475% due 02/22/31

    200,000       201,562  

5.719% due 02/20/26

    500,000       501,633  

Mizuho Financial Group, Inc. (Japan)

   

2.201% due 07/10/31

    200,000       161,991  

3.261% due 05/22/30

    200,000       177,388  

3.663% due 02/28/27

    200,000       191,143  

5.754% due 05/27/34

    250,000       255,890  

Morgan Stanley

   

0.864% due 10/21/25

    70,000       64,976  

1.164% due 10/21/25

    225,000       210,260  

1.512% due 07/20/27

    100,000       88,952  

1.593% due 05/04/27

    145,000       130,055  

1.794% due 02/13/32

    65,000       51,069  

2.188% due 04/28/26

    500,000       469,390  

2.239% due 07/21/32

    100,000       80,309  

2.475% due 01/21/28

    170,000       155,438  

2.484% due 09/16/36

    100,000       76,035  

2.699% due 01/22/31

    445,000       383,564  

2.720% due 07/22/25

    565,000       544,888  

2.802% due 01/25/52

    400,000       264,550  

2.943% due 01/21/33

    135,000       114,474  

3.125% due 07/27/26

    70,000       66,350  

3.217% due 04/22/42

    55,000       42,530  

3.591% due 07/22/28

    100,000       94,533  

3.622% due 04/01/31

    200,000       183,030  

3.625% due 01/20/27

    300,000       289,023  

4.300% due 01/27/45

    100,000       88,555  

4.350% due 09/08/26

    90,000       87,749  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

206

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

4.431% due 01/23/30

    $95,000       $91,673  

4.457% due 04/22/39

    150,000       137,297  

5.050% due 01/28/27

    560,000       558,878  

5.123% due 02/01/29

    600,000       605,234  

5.597% due 03/24/51

    100,000       105,383  

5.948% due 01/19/38

    300,000       298,615  

6.342% due 10/18/33

    325,000       355,247  

7.250% due 04/01/32

    100,000       117,292  

Morgan Stanley Domestic Holdings, Inc.

   

3.800% due 08/24/27

    15,000       14,207  

4.500% due 06/20/28

    50,000       49,442  

Nasdaq, Inc.

   

1.650% due 01/15/31

    150,000       118,437  

2.500% due 12/21/40

    150,000       99,080  

National Australia Bank Ltd. (Australia)
5.132% due 11/22/24

    250,000       251,734  

National Retail Properties, Inc. REIT
4.300% due 10/15/28

    35,000       32,984  

Natwest Group PLC (United Kingdom)

   

3.032% due 11/28/35

    350,000       267,056  

3.073% due 05/22/28

    200,000       181,110  

7.472% due 11/10/26

    300,000       310,319  

Nomura Holdings, Inc. (Japan)

   

1.653% due 07/14/26

    100,000       87,476  

1.851% due 07/16/25

    200,000       183,168  

2.329% due 01/22/27

    300,000       265,371  

Nordic Investment Bank (Multi-National)
0.500% due 01/21/26

    300,000       272,835  

Northern Trust Corp.

   

1.950% due 05/01/30

    75,000       62,582  

3.375% due 05/08/32

    63,000       57,249  

3.650% due 08/03/28

    50,000       46,838  

4.000% due 05/10/27

    35,000       34,329  

Oaktree Specialty Lending Corp.
2.700% due 01/15/27

    50,000       42,798  

Oesterreichische Kontrollbank AG (Austria)

   

0.375% due 09/17/25

    90,000       82,418  

1.500% due 02/12/25

    300,000       285,425  

4.250% due 03/01/28

    35,000       35,765  

4.625% due 11/03/25

    70,000       70,969  

Old Republic International Corp.
3.850% due 06/11/51

    55,000       41,343  

Omega Healthcare Investors, Inc. REIT

   

4.500% due 01/15/25

    25,000       23,974  

4.750% due 01/15/28

    50,000       46,388  

4.950% due 04/01/24

    100,000       98,853  

ORIX Corp. (Japan)

   

3.700% due 07/18/27

    50,000       47,626  

4.000% due 04/13/32

    100,000       92,158  

Owl Rock Capital Corp.

   

2.875% due 06/11/28

    100,000       81,185  

3.750% due 07/22/25

    100,000       91,299  

4.000% due 03/30/25

    25,000       23,332  

OWL Rock Core Income Corp.
5.500% due 03/21/25

    100,000       97,473  

Physicians Realty LP REIT
2.625% due 11/01/31

    50,000       39,443  

Piedmont Operating Partnership LP REIT
2.750% due 04/01/32

    35,000       24,086  

PNC Bank NA

   

2.950% due 02/23/25

    300,000       286,525  

4.050% due 07/26/28

    350,000       331,985  

PNC Financial Services Group, Inc.

   

2.550% due 01/22/30

    350,000       298,752  

5.068% due 01/24/34

    40,000       39,492  

Principal Financial Group, Inc.

   

3.700% due 05/15/29

    25,000       23,519  

4.625% due 09/15/42

    100,000       87,335  

5.375% due 03/15/33

    30,000       30,049  

Private Export Funding Corp.
2.450% due 07/15/24

    100,000       97,291  

Progressive Corp.

   
   

Principal
Amount

   

Value

 

2.500% due 03/15/27

    $40,000       $36,916  

3.000% due 03/15/32

    50,000       44,724  

3.700% due 03/15/52

    175,000       140,297  

4.000% due 03/01/29

    25,000       24,519  

4.125% due 04/15/47

    100,000       88,240  

Prologis LP REIT

   

1.250% due 10/15/30

    55,000       43,295  

1.625% due 03/15/31

    100,000       79,842  

1.750% due 02/01/31

    20,000       16,189  

2.125% due 04/15/27

    25,000       22,820  

2.125% due 10/15/50

    40,000       22,786  

2.250% due 04/15/30

    30,000       25,477  

2.250% due 01/15/32

    50,000       41,179  

2.875% due 11/15/29

    40,000       35,712  

3.000% due 04/15/50

    25,000       17,383  

3.375% due 12/15/27

    60,000       57,053  

4.375% due 02/01/29

    15,000       14,674  

Prudential Financial, Inc.

   

1.500% due 03/10/26

    20,000       18,257  

2.100% due 03/10/30

    15,000       12,825  

3.000% due 03/10/40

    25,000       18,962  

3.700% due 10/01/50

    175,000       143,017  

3.700% due 03/13/51

    150,000       113,870  

3.935% due 12/07/49

    132,000       104,790  

4.350% due 02/25/50

    50,000       42,866  

5.200% due 03/15/44

    100,000       95,272  

6.625% due 06/21/40

    50,000       55,396  

Public Storage REIT

   

0.875% due 02/15/26

    50,000       44,981  

1.500% due 11/09/26

    50,000       44,914  

2.300% due 05/01/31

    250,000       209,874  

3.094% due 09/15/27

    30,000       28,243  

Raymond James Financial, Inc.
4.950% due 07/15/46

    100,000       90,917  

Realty Income Corp. REIT

   

1.800% due 03/15/33

    50,000       37,179  

2.200% due 06/15/28

    35,000       30,898  

2.850% due 12/15/32

    30,000       24,832  

3.000% due 01/15/27

    50,000       46,745  

3.875% due 04/15/25

    150,000       146,297  

4.625% due 11/01/25

    50,000       49,309  

4.850% due 03/15/30

    65,000       64,100  

4.875% due 06/01/26

    25,000       24,893  

Regency Centers LP REIT

   

3.600% due 02/01/27

    30,000       28,747  

3.700% due 06/15/30

    35,000       31,627  

4.400% due 02/01/47

    35,000       28,627  

Regions Financial Corp.
1.800% due 08/12/28

    300,000       246,169  

Reinsurance Group of America, Inc.
3.950% due 09/15/26

    60,000       57,947  

RenaissanceRe Finance, Inc. (Bermuda)
3.450% due 07/01/27

    30,000       28,609  

Royal Bank of Canada (Canada)

   

1.150% due 06/10/25

    490,000       451,065  

1.150% due 07/14/26

    50,000       44,867  

2.050% due 01/21/27

    100,000       90,608  

3.625% due 05/04/27

    150,000       143,752  

3.970% due 07/26/24

    75,000       74,014  

4.650% due 01/27/26

    200,000       197,162  

4.900% due 01/12/28

    150,000       150,095  

Santander Holdings USA, Inc.

   

2.490% due 01/06/28

    70,000       60,603  

4.260% due 06/09/25

    75,000       72,472  

4.400% due 07/13/27

    145,000       135,879  

Santander UK Group Holdings PLC (United Kingdom)

   

1.532% due 08/21/26

    200,000       178,603  

2.896% due 03/15/32

    200,000       161,662  

Simon Property Group LP REIT

   

1.375% due 01/15/27

    300,000       264,209  

2.000% due 09/13/24

    100,000       95,554  

2.450% due 09/13/29

    100,000       85,887  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

207

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

2.650% due 07/15/30

    $100,000       $84,710  

3.250% due 11/30/26

    50,000       47,364  

3.250% due 09/13/49

    100,000       68,280  

3.375% due 06/15/27

    100,000       94,128  

4.250% due 11/30/46

    50,000       40,701  

5.850% due 03/08/53

    200,000       199,438  

Spirit Realty LP REIT
3.400% due 01/15/30

    50,000       43,029  

Stifel Financial Corp.
4.250% due 07/18/24

    50,000       49,290  

STORE Capital Corp. REIT
4.500% due 03/15/28

    150,000       134,498  

Sumitomo Mitsui Financial Group, Inc. (Japan)

   

0.948% due 01/12/26

    200,000       177,888  

1.474% due 07/08/25

    200,000       183,268  

1.710% due 01/12/31

    200,000       155,840  

1.902% due 09/17/28

    250,000       211,916  

2.296% due 01/12/41

    200,000       130,477  

2.348% due 01/15/25

    200,000       189,737  

3.010% due 10/19/26

    200,000       186,090  

3.202% due 09/17/29

    150,000       131,349  

3.364% due 07/12/27

    150,000       140,288  

3.784% due 03/09/26

    100,000       96,791  

5.766% due 01/13/33

    200,000       209,041  

Sun Communities Operating LP REIT
2.300% due 11/01/28

    65,000       55,549  

Synchrony Financial

   

3.700% due 08/04/26

    50,000       43,719  

3.950% due 12/01/27

    100,000       84,827  

4.875% due 06/13/25

    100,000       92,672  

Tanger Properties LP REIT
3.875% due 07/15/27

    50,000       45,260  

Toronto-Dominion Bank (Canada)

   

0.700% due 09/10/24

    350,000       329,242  

0.750% due 01/06/26

    200,000       178,136  

1.200% due 06/03/26

    100,000       89,155  

4.285% due 09/13/24

    200,000       197,767  

4.693% due 09/15/27

    200,000       198,105  

5.103% due 01/09/26

    100,000       100,675  

5.156% due 01/10/28

    500,000       505,518  

Travelers Cos., Inc.

   

3.050% due 06/08/51

    50,000       35,734  

6.250% due 06/15/37

    125,000       141,941  

Travelers Property Casualty Corp.
6.375% due 03/15/33

    100,000       114,376  

Truist Financial Corp.

   

1.125% due 08/03/27

    100,000       84,633  

1.200% due 08/05/25

    135,000       121,487  

1.267% due 03/02/27

    120,000       105,814  

1.887% due 06/07/29

    125,000       104,477  

1.950% due 06/05/30

    135,000       108,973  

2.500% due 08/01/24

    300,000       286,902  

3.700% due 06/05/25

    100,000       95,390  

4.000% due 05/01/25

    100,000       96,582  

4.873% due 01/26/29

    40,000       39,039  

4.916% due 07/28/33

    100,000       93,284  

U.S. Bancorp
4.839% due 02/01/34

    200,000       194,181  

UDR, Inc. REIT

   

2.100% due 06/15/33

    100,000       75,369  

3.100% due 11/01/34

    50,000       40,972  

3.200% due 01/15/30

    50,000       44,744  

4.400% due 01/26/29

    25,000       24,006  

Unum Group

   

4.000% due 06/15/29

    70,000       65,422  

4.125% due 06/15/51

    100,000       71,643  

US Bancorp

   

1.375% due 07/22/30

    150,000       117,561  

1.450% due 05/12/25

    150,000       138,243  

2.491% due 11/03/36

    200,000       154,524  

3.600% due 09/11/24

    400,000       387,157  

4.548% due 07/22/28

    100,000       97,526  
   

Principal
Amount

   

Value

 

5.850% due 10/21/33

    $30,000       $31,361  

Ventas Realty LP REIT

   

3.000% due 01/15/30

    50,000       43,264  

3.250% due 10/15/26

    100,000       93,578  

4.000% due 03/01/28

    50,000       47,008  

4.125% due 01/15/26

    31,000       30,097  

Visa, Inc.

   

1.100% due 02/15/31

    200,000       159,845  

1.900% due 04/15/27

    250,000       230,160  

2.050% due 04/15/30

    300,000       261,792  

3.650% due 09/15/47

    25,000       21,842  

4.150% due 12/14/35

    30,000       29,533  

4.300% due 12/14/45

    100,000       96,414  

Voya Financial, Inc.

   

3.650% due 06/15/26

    50,000       47,850  

4.800% due 06/15/46

    30,000       25,509  

W R Berkley Corp.
4.000% due 05/12/50

    115,000       93,056  

Wachovia Corp.
5.500% due 08/01/35

    200,000       199,954  

Wells Fargo & Co.

   

0.805% due 05/19/25

    25,000       23,751  

2.188% due 04/30/26

    300,000       281,358  

2.393% due 06/02/28

    500,000       450,564  

2.406% due 10/30/25

    130,000       123,617  

3.000% due 04/22/26

    150,000       141,797  

3.000% due 10/23/26

    150,000       140,447  

3.068% due 04/30/41

    500,000       373,387  

3.196% due 06/17/27

    260,000       244,680  

3.350% due 03/02/33

    390,000       338,363  

3.526% due 03/24/28

    355,000       335,252  

3.908% due 04/25/26

    250,000       242,838  

4.150% due 01/24/29

    200,000       191,170  

4.478% due 04/04/31

    200,000       191,595  

4.540% due 08/15/26

    100,000       98,249  

4.611% due 04/25/53

    250,000       222,088  

4.808% due 07/25/28

    65,000       64,238  

4.897% due 07/25/33

    65,000       63,486  

5.013% due 04/04/51

    250,000       235,740  

5.606% due 01/15/44

    100,000       96,598  

Wells Fargo Bank NA
6.600% due 01/15/38

    100,000       112,033  

Welltower OP LLC REIT

   

2.050% due 01/15/29

    60,000       50,119  

2.750% due 01/15/31

    145,000       120,635  

2.750% due 01/15/32

    50,000       40,942  

2.800% due 06/01/31

    100,000       83,158  

4.125% due 03/15/29

    100,000       93,406  

Westpac Banking Corp. (Australia)

   

1.953% due 11/20/28

    100,000       87,102  

2.150% due 06/03/31

    100,000       84,518  

2.700% due 08/19/26

    150,000       140,823  

2.894% due 02/04/30

    200,000       187,682  

2.963% due 11/16/40

    200,000       134,548  

3.400% due 01/25/28

    100,000       95,048  

4.043% due 08/26/27

    100,000       98,378  

4.110% due 07/24/34

    65,000       58,263  

4.421% due 07/24/39

    45,000       37,809  

5.457% due 11/18/27

    100,000       103,650  

Weyerhaeuser Co. REIT

   

4.000% due 11/15/29

    100,000       94,513  

7.375% due 03/15/32

    100,000       115,005  

Willis North America, Inc.

   

2.950% due 09/15/29

    75,000       66,161  

3.875% due 09/15/49

    35,000       26,327  

4.650% due 06/15/27

    100,000       98,482  

WP Carey, Inc. REIT
4.600% due 04/01/24

    100,000       97,894  

XL Group Ltd. (Bermuda)
5.250% due 12/15/43

    50,000       49,835  
   

 

 

 
      113,363,389  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

208

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Industrial - 1.8%

   

3M Co.

   

2.375% due 08/26/29

    $300,000       $265,352  

2.875% due 10/15/27

    100,000       93,603  

3.250% due 08/26/49

    200,000       149,149  

4.000% due 09/14/48

    250,000       211,567  

Agilent Technologies, Inc.
2.300% due 03/12/31

    100,000       83,864  

Allegion US Holding Co., Inc.

   

3.200% due 10/01/24

    50,000       48,563  

3.550% due 10/01/27

    50,000       46,742  

Amcor Flexibles North America, Inc.

   

2.690% due 05/25/31

    65,000       54,125  

4.000% due 05/17/25

    65,000       63,692  

Amphenol Corp.

   

2.050% due 03/01/25

    25,000       23,819  

2.200% due 09/15/31

    60,000       49,812  

4.350% due 06/01/29

    50,000       49,888  

Arrow Electronics, Inc.

   

3.250% due 09/08/24

    100,000       97,198  

3.875% due 01/12/28

    25,000       23,745  

Avnet, Inc.

   

4.625% due 04/15/26

    25,000       24,720  

6.250% due 03/15/28

    100,000       101,869  

Berry Global, Inc.
1.570% due 01/15/26

    200,000       181,699  

Boeing Co.

   

2.196% due 02/04/26

    500,000       464,128  

2.750% due 02/01/26

    50,000       47,474  

2.950% due 02/01/30

    100,000       88,342  

3.200% due 03/01/29

    200,000       182,879  

3.250% due 02/01/28

    50,000       46,614  

3.250% due 03/01/28

    25,000       23,082  

3.550% due 03/01/38

    15,000       11,936  

3.625% due 02/01/31

    30,000       27,509  

3.625% due 03/01/48

    10,000       7,184  

3.750% due 02/01/50

    100,000       75,876  

3.825% due 03/01/59

    50,000       35,341  

3.850% due 11/01/48

    35,000       26,220  

4.875% due 05/01/25

    85,000       84,869  

5.150% due 05/01/30

    150,000       151,016  

5.705% due 05/01/40

    200,000       202,528  

5.805% due 05/01/50

    400,000       403,222  

5.875% due 02/15/40

    50,000       51,743  

5.930% due 05/01/60

    150,000       150,121  

Burlington Northern Santa Fe LLC

   

3.050% due 02/15/51

    200,000       146,079  

3.300% due 09/15/51

    200,000       153,140  

3.550% due 02/15/50

    150,000       120,640  

3.650% due 09/01/25

    50,000       48,979  

4.125% due 06/15/47

    50,000       44,458  

4.450% due 01/15/53

    300,000       281,210  

4.700% due 09/01/45

    50,000       47,718  

5.750% due 05/01/40

    100,000       107,800  

Canadian National Railway Co. (Canada)

   

2.950% due 11/21/24

    100,000       97,421  

3.850% due 08/05/32

    100,000       95,188  

6.200% due 06/01/36

    50,000       56,368  

Canadian Pacific Railway Co. (Canada)

   

2.450% due 12/02/31

    200,000       173,265  

2.900% due 02/01/25

    150,000       144,545  

3.100% due 12/02/51

    200,000       143,515  

4.000% due 06/01/28

    35,000       34,417  

4.800% due 09/15/35

    20,000       19,996  

6.125% due 09/15/15

    30,000       32,271  

Carlisle Cos., Inc.

   

2.200% due 03/01/32

    100,000       77,772  

3.750% due 12/01/27

    50,000       47,574  

Carrier Global Corp.

   

2.242% due 02/15/25

    35,000       33,414  

2.493% due 02/15/27

    35,000       32,541  
   

Principal
Amount

   

Value

 

2.722% due 02/15/30

    $50,000       $43,777  

3.377% due 04/05/40

    15,000       11,944  

3.577% due 04/05/50

    450,000       341,338  

Caterpillar Financial Services Corp.

   

0.450% due 05/17/24

    50,000       47,741  

0.800% due 11/13/25

    60,000       54,775  

0.900% due 03/02/26

    200,000       181,461  

3.400% due 05/13/25

    100,000       98,001  

Caterpillar, Inc.

   

2.600% due 04/09/30

    500,000       448,573  

3.250% due 09/19/49

    100,000       79,658  

3.803% due 08/15/42

    100,000       89,237  

CNH Industrial Capital LLC
1.450% due 07/15/26

    100,000       89,628  

CNH Industrial NV (United Kingdom)
3.850% due 11/15/27

    35,000       33,639  

CSX Corp.

   

3.250% due 06/01/27

    250,000       238,801  

3.400% due 08/01/24

    200,000       195,684  

4.100% due 11/15/32

    100,000       96,445  

4.500% due 03/15/49

    65,000       59,342  

4.650% due 03/01/68

    45,000       40,347  

5.500% due 04/15/41

    75,000       77,308  

Deere & Co.

   

2.875% due 09/07/49

    15,000       11,353  

3.900% due 06/09/42

    100,000       92,031  

Dover Corp.
5.375% due 03/01/41

    50,000       50,854  

Eagle Materials, Inc.
2.500% due 07/01/31

    50,000       40,996  

Eaton Corp.

   

4.000% due 11/02/32

    100,000       95,251  

4.150% due 03/15/33

    55,000       53,235  

Emerson Electric Co.

   

0.875% due 10/15/26

    35,000       31,061  

2.200% due 12/21/31

    100,000       84,772  

3.150% due 06/01/25

    100,000       97,071  

FedEx Corp.

   

3.100% due 08/05/29

    50,000       45,931  

3.875% due 08/01/42

    100,000       81,608  

4.200% due 10/17/28

    100,000       98,625  

4.400% due 01/15/47

    50,000       43,047  

4.750% due 11/15/45

    50,000       45,217  

5.250% due 05/15/50

    350,000       343,401  

Flex Ltd.

   

3.750% due 02/01/26

    50,000       48,041  

4.750% due 06/15/25

    50,000       49,115  

4.875% due 06/15/29

    25,000       24,227  

Fortive Corp.
4.300% due 06/15/46

    125,000       101,669  

GATX Corp.

   

3.250% due 03/30/25

    100,000       95,785  

4.550% due 11/07/28

    25,000       24,535  

GE Capital International Funding Co. Unlimited Co.
4.418% due 11/15/35

    350,000       339,448  

General Dynamics Corp.

   

2.250% due 06/01/31

    5,000       4,313  

2.850% due 06/01/41

    10,000       7,833  

3.750% due 05/15/28

    180,000       175,807  

4.250% due 04/01/50

    200,000       187,347  

Honeywell International, Inc.

   

1.100% due 03/01/27

    300,000       269,555  

2.300% due 08/15/24

    100,000       97,136  

2.500% due 11/01/26

    100,000       95,010  

2.700% due 08/15/29

    60,000       55,305  

Hubbell, Inc.
3.350% due 03/01/26

    50,000       48,346  

Huntington Ingalls Industries, Inc.
2.043% due 08/16/28

    50,000       42,898  

IDEX Corp.

   

2.625% due 06/15/31

    100,000       84,422  

3.000% due 05/01/30

    15,000       13,229  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

209

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Illinois Tool Works, Inc.
4.875% due 09/15/41

    $100,000       $102,558  

Jabil, Inc.

   

1.700% due 04/15/26

    65,000       58,416  

3.950% due 01/12/28

    55,000       51,835  

John Deere Capital Corp.

   

0.450% due 06/07/24

    35,000       33,340  

0.625% due 09/10/24

    70,000       66,286  

1.300% due 10/13/26

    250,000       225,851  

1.750% due 03/09/27

    50,000       45,468  

2.000% due 06/17/31

    100,000       83,554  

2.350% due 03/08/27

    50,000       46,474  

2.650% due 06/10/26

    100,000       95,120  

2.800% due 09/08/27

    50,000       47,085  

3.400% due 09/11/25

    50,000       48,794  

3.450% due 03/13/25

    50,000       49,209  

3.900% due 06/07/32

    20,000       19,298  

4.150% due 09/15/27

    100,000       99,530  

4.800% due 01/09/26

    65,000       66,027  

Johnson Controls International PLC

   

3.625% due 07/02/24

    40,000       39,350  

3.900% due 02/14/26

    19,000       18,519  

4.500% due 02/15/47

    40,000       35,277  

Johnson Controls International PLC/Tyco Fire & Security Finance SCA

   

1.750% due 09/15/30

    15,000       12,365  

4.900% due 12/01/32

    40,000       40,615  

Kansas City Southern
4.950% due 08/15/45

    100,000       93,899  

Kennametal, Inc.
4.625% due 06/15/28

    50,000       48,406  

Keysight Technologies, Inc.
4.550% due 10/30/24

    100,000       98,985  

L3Harris Technologies, Inc.

   

2.900% due 12/15/29

    30,000       26,533  

3.850% due 12/15/26

    25,000       24,385  

4.400% due 06/15/28

    100,000       98,034  

Lockheed Martin Corp.

   

3.550% due 01/15/26

    50,000       49,548  

3.600% due 03/01/35

    25,000       23,376  

3.800% due 03/01/45

    20,000       17,317  

3.900% due 06/15/32

    45,000       43,797  

4.150% due 06/15/53

    385,000       350,492  

4.500% due 05/15/36

    20,000       19,791  

4.700% due 05/15/46

    44,000       43,743  

6.150% due 09/01/36

    100,000       113,486  

Martin Marietta Materials, Inc.

   

2.500% due 03/15/30

    65,000       55,269  

3.450% due 06/01/27

    21,000       19,944  

Masco Corp.

   

2.000% due 02/15/31

    100,000       80,125  

3.500% due 11/15/27

    100,000       94,415  

Mohawk Industries, Inc.
3.625% due 05/15/30

    50,000       45,364  

Norfolk Southern Corp.

   

2.300% due 05/15/31

    250,000       209,719  

3.155% due 05/15/55

    20,000       13,726  

3.800% due 08/01/28

    30,000       28,903  

3.942% due 11/01/47

    63,000       51,842  

4.550% due 06/01/53

    145,000       130,651  

4.650% due 01/15/46

    50,000       45,051  

4.837% due 10/01/41

    50,000       47,013  

Northrop Grumman Corp.

   

3.250% due 01/15/28

    350,000       332,714  

3.850% due 04/15/45

    100,000       83,983  

4.700% due 03/15/33

    60,000       60,651  

nVent Finance SARL (United Kingdom)
2.750% due 11/15/31

    50,000       40,612  

Oshkosh Corp.
3.100% due 03/01/30

    15,000       13,270  

Otis Worldwide Corp.

   

2.056% due 04/05/25

    20,000       18,888  
   

Principal
Amount

   

Value

 

2.293% due 04/05/27

    $20,000       $18,240  

3.112% due 02/15/40

    50,000       38,842  

3.362% due 02/15/50

    30,000       22,311  

Owens Corning
3.875% due 06/01/30

    150,000       139,020  

Packaging Corp. of America

   

3.400% due 12/15/27

    35,000       33,286  

3.650% due 09/15/24

    100,000       98,409  

Parker-Hannifin Corp.

   

3.250% due 06/14/29

    300,000       276,578  

4.000% due 06/14/49

    20,000       17,110  

6.250% due 05/15/38

    100,000       111,046  

Precision Castparts Corp.

   

3.250% due 06/15/25

    50,000       48,829  

4.375% due 06/15/45

    50,000       46,222  

Raytheon Technologies Corp.

   

2.250% due 07/01/30

    100,000       85,722  

3.030% due 03/15/52

    250,000       181,301  

3.125% due 07/01/50

    100,000       74,711  

3.500% due 03/15/27

    200,000       193,552  

3.750% due 11/01/46

    50,000       41,432  

3.950% due 08/16/25

    25,000       24,721  

4.125% due 11/16/28

    60,000       59,197  

4.350% due 04/15/47

    200,000       181,391  

4.450% due 11/16/38

    20,000       18,990  

4.500% due 06/01/42

    300,000       284,620  

4.625% due 11/16/48

    35,000       33,322  

5.375% due 02/27/53

    100,000       105,398  

Regal Rexnord Corp.
6.050% due 04/15/28 ~

    250,000       250,294  

Republic Services, Inc.

   

3.200% due 03/15/25

    100,000       97,218  

3.375% due 11/15/27

    120,000       114,632  

3.950% due 05/15/28

    100,000       97,321  

Ryder System, Inc.

   

1.750% due 09/01/26

    65,000       58,367  

4.300% due 06/15/27

    75,000       72,965  

Snap-on, Inc.
3.100% due 05/01/50

    35,000       26,715  

Stanley Black & Decker, Inc.

   

2.750% due 11/15/50

    50,000       29,727  

4.250% due 11/15/28

    100,000       96,652  

6.272% due 03/06/26

    100,000       101,214  

Teledyne Technologies, Inc.
2.750% due 04/01/31

    200,000       170,699  

Textron, Inc.

   

3.650% due 03/15/27

    100,000       95,666  

4.000% due 03/15/26

    25,000       24,630  

Trane Technologies Financing Ltd.
5.250% due 03/03/33

    45,000       46,549  

Trane Technologies Luxembourg Finance SA
3.800% due 03/21/29

    100,000       94,852  

Trimble, Inc.
4.900% due 06/15/28

    50,000       49,735  

Tyco Electronics Group SA (Switzerland)

   

2.500% due 02/04/32

    45,000       38,443  

4.500% due 02/13/26

    60,000       60,147  

Union Pacific Corp.

   

2.375% due 05/20/31

    40,000       34,556  

2.750% due 03/01/26

    25,000       23,876  

2.891% due 04/06/36

    125,000       103,385  

2.973% due 09/16/62

    25,000       16,597  

3.000% due 04/15/27

    100,000       95,506  

3.200% due 05/20/41

    370,000       298,585  

3.250% due 08/15/25

    50,000       48,603  

3.350% due 08/15/46

    50,000       38,699  

3.550% due 05/20/61

    100,000       76,091  

3.600% due 09/15/37

    20,000       17,623  

3.750% due 07/15/25

    50,000       49,325  

3.799% due 04/06/71

    30,000       23,358  

4.750% due 02/21/26

    125,000       126,580  

4.950% due 05/15/53

    200,000       202,966  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

210

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

United Parcel Service, Inc.

   

3.400% due 11/15/46

    $200,000       $160,292  

4.875% due 03/03/33

    260,000       267,015  

5.300% due 04/01/50

    250,000       268,194  

6.200% due 01/15/38

    50,000       57,032  

Vulcan Materials Co.

   

4.500% due 06/15/47

    100,000       89,082  

5.800% due 03/01/26

    35,000       35,338  

Waste Connections, Inc.

   

3.500% due 05/01/29

    100,000       93,417  

4.200% due 01/15/33

    70,000       67,237  

Waste Management, Inc.

   

0.750% due 11/15/25

    206,000       187,504  

2.950% due 06/01/41

    35,000       26,833  

3.150% due 11/15/27

    100,000       95,143  

4.625% due 02/15/33

    200,000       200,592  

Westinghouse Air Brake Technologies Corp.
4.950% due 09/15/28

    100,000       98,161  

WRKCo, Inc.

   

3.000% due 09/15/24

    100,000       96,835  

4.000% due 03/15/28

    100,000       95,658  

4.200% due 06/01/32

    50,000       46,070  

Xylem, Inc.

   

3.250% due 11/01/26

    30,000       28,561  

4.375% due 11/01/46

    25,000       21,851  
   

 

 

 
      21,253,519  
   

 

 

 

Technology - 1.9%

 

Activision Blizzard, Inc.

   

1.350% due 09/15/30

    35,000       28,369  

2.500% due 09/15/50

    100,000       67,122  

3.400% due 09/15/26

    50,000       48,446  

Adobe, Inc.
1.900% due 02/01/25

    230,000       220,170  

Analog Devices, Inc.

   

2.100% due 10/01/31

    60,000       50,556  

2.800% due 10/01/41

    50,000       38,212  

2.950% due 10/01/51

    55,000       40,360  

3.450% due 06/15/27 ~

    100,000       96,740  

3.500% due 12/05/26

    100,000       97,138  

Apple, Inc.

   

0.700% due 02/08/26

    400,000       364,120  

1.125% due 05/11/25

    65,000       61,030  

1.400% due 08/05/28

    100,000       87,661  

1.650% due 05/11/30

    410,000       349,273  

1.650% due 02/08/31

    200,000       167,449  

1.700% due 08/05/31

    100,000       83,178  

1.800% due 09/11/24

    100,000       96,437  

2.050% due 09/11/26

    100,000       93,574  

2.200% due 09/11/29

    100,000       89,535  

2.550% due 08/20/60

    250,000       165,282  

2.650% due 05/11/50

    100,000       70,587  

2.650% due 02/08/51

    450,000       315,771  

2.700% due 08/05/51

    100,000       70,556  

2.850% due 08/05/61

    100,000       69,071  

2.950% due 09/11/49

    65,000       49,154  

3.000% due 11/13/27

    100,000       96,093  

3.250% due 02/23/26

    570,000       557,896  

3.350% due 02/09/27

    200,000       195,423  

3.750% due 09/12/47

    75,000       65,712  

3.750% due 11/13/47

    50,000       43,909  

3.850% due 08/04/46

    35,000       31,301  

4.250% due 02/09/47

    100,000       95,954  

4.500% due 02/23/36

    50,000       51,671  

4.650% due 02/23/46

    445,000       448,626  

Applied Materials, Inc.

   

1.750% due 06/01/30

    30,000       25,214  

3.900% due 10/01/25

    35,000       34,575  

4.350% due 04/01/47

    45,000       42,348  

5.100% due 10/01/35

    35,000       36,629  
   

Principal
Amount

   

Value

 

Autodesk, Inc.

   

2.400% due 12/15/31

    $80,000       $66,582  

2.850% due 01/15/30

    55,000       48,618  

Broadcom, Inc.

   

2.450% due 02/15/31 ~

    200,000       163,836  

3.419% due 04/15/33 ~

    250,000       209,355  

3.459% due 09/15/26

    26,000       24,862  

3.500% due 02/15/41 ~

    315,000       237,892  

3.750% due 02/15/51 ~

    140,000       103,320  

4.110% due 09/15/28

    211,000       201,779  

4.150% due 04/15/32 ~

    40,000       36,467  

4.300% due 11/15/32

    200,000       184,374  

4.750% due 04/15/29

    150,000       148,192  

5.000% due 04/15/30

    200,000       198,784  

Broadridge Financial Solutions, Inc.
3.400% due 06/27/26

    50,000       47,838  

CDW LLC/CDW Finance Corp.
3.569% due 12/01/31

    250,000       215,258  

Dell International LLC/EMC Corp.

   

4.000% due 07/15/24

    50,000       49,341  

4.900% due 10/01/26

    100,000       99,807  

5.300% due 10/01/29

    100,000       100,826  

5.850% due 07/15/25

    200,000       203,371  

6.020% due 06/15/26

    500,000       513,412  

8.100% due 07/15/36

    27,000       31,528  

8.350% due 07/15/46

    13,000       15,857  

Electronic Arts, Inc.

   

1.850% due 02/15/31

    30,000       24,766  

2.950% due 02/15/51

    20,000       13,806  

4.800% due 03/01/26

    50,000       50,393  

Fidelity National Information Services, Inc.

   

1.150% due 03/01/26

    350,000       311,734  

1.650% due 03/01/28

    20,000       17,124  

2.250% due 03/01/31

    50,000       40,032  

3.100% due 03/01/41

    10,000       7,005  

Fiserv, Inc.

   

2.250% due 06/01/27

    100,000       90,541  

2.650% due 06/01/30

    100,000       86,383  

2.750% due 07/01/24

    100,000       97,056  

3.200% due 07/01/26

    25,000       23,742  

3.500% due 07/01/29

    45,000       41,786  

3.850% due 06/01/25

    100,000       97,973  

4.400% due 07/01/49

    40,000       34,209  

Genpact Luxembourg SARL
3.375% due 12/01/24

    25,000       24,243  

Hewlett Packard Enterprise Co.

   

4.900% due 10/15/25

    250,000       249,706  

6.200% due 10/15/35

    50,000       53,650  

6.350% due 10/15/45

    50,000       52,711  

HP, Inc.

   

2.650% due 06/17/31

    100,000       81,631  

4.000% due 04/15/29

    100,000       94,961  

4.200% due 04/15/32

    100,000       90,195  

4.750% due 01/15/28

    100,000       98,909  

6.000% due 09/15/41

    55,000       56,361  

Intel Corp.

   

1.600% due 08/12/28

    25,000       21,859  

2.000% due 08/12/31

    50,000       41,209  

2.450% due 11/15/29

    150,000       132,166  

2.600% due 05/19/26

    100,000       95,032  

2.800% due 08/12/41

    40,000       29,051  

3.050% due 08/12/51

    20,000       13,679  

3.200% due 08/12/61

    25,000       16,569  

3.250% due 11/15/49

    500,000       356,339  

3.700% due 07/29/25

    145,000       143,004  

4.150% due 08/05/32

    100,000       96,506  

4.600% due 03/25/40

    400,000       376,178  

4.875% due 02/10/26

    200,000       202,635  

4.875% due 02/10/28

    75,000       76,241  

4.900% due 08/05/52

    100,000       93,264  

5.200% due 02/10/33

    315,000       321,014  

5.625% due 02/10/43

    50,000       51,284  

5.700% due 02/10/53

    35,000       35,761  

5.900% due 02/10/63

    250,000       257,619  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

211

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

International Business Machines Corp.

   

2.850% due 05/15/40

    $100,000       $73,820  

3.000% due 05/15/24

    200,000       196,346  

3.300% due 05/15/26

    300,000       289,490  

3.500% due 05/15/29

    170,000       159,777  

4.150% due 05/15/39

    100,000       88,660  

4.250% due 05/15/49

    300,000       258,228  

4.750% due 02/06/33

    200,000       198,901  

5.100% due 02/06/53

    200,000       191,489  

5.600% due 11/30/39

    26,000       27,072  

Intuit, Inc.
1.650% due 07/15/30

    15,000       12,502  

KLA Corp.

   

4.650% due 07/15/32

    60,000       60,608  

4.950% due 07/15/52

    100,000       99,229  

Lam Research Corp.

   

4.000% due 03/15/29

    55,000       53,930  

4.875% due 03/15/49

    25,000       24,787  

Leidos, Inc.

   

2.300% due 02/15/31

    55,000       44,662  

5.750% due 03/15/33

    45,000       46,018  

Micron Technology, Inc.

   

2.703% due 04/15/32

    20,000       16,026  

3.366% due 11/01/41

    15,000       10,649  

3.477% due 11/01/51

    25,000       16,324  

6.750% due 11/01/29

    250,000       265,706  

Microsoft Corp.

   

2.400% due 08/08/26

    250,000       238,058  

2.525% due 06/01/50

    485,000       343,657  

2.675% due 06/01/60

    166,000       114,775  

2.921% due 03/17/52

    278,000       211,620  

3.125% due 11/03/25

    100,000       97,572  

3.300% due 02/06/27

    300,000       294,495  

3.450% due 08/08/36

    72,000       66,670  

3.700% due 08/08/46

    500,000       454,898  

NVIDIA Corp.

   

0.584% due 06/14/24

    75,000       71,635  

2.000% due 06/15/31

    100,000       84,184  

2.850% due 04/01/30

    250,000       227,722  

3.500% due 04/01/50

    200,000       163,952  

NXP BV/NXP Funding LLC/NXP USA, Inc. (China)

   

2.500% due 05/11/31

    100,000       82,732  

3.250% due 05/11/41

    60,000       43,781  

4.300% due 06/18/29

    150,000       144,168  

4.400% due 06/01/27

    40,000       39,537  

5.000% due 01/15/33

    50,000       49,052  

Oracle Corp.

   

1.650% due 03/25/26

    545,000       500,924  

2.300% due 03/25/28

    70,000       62,670  

2.800% due 04/01/27

    500,000       465,017  

2.875% due 03/25/31

    75,000       64,216  

2.950% due 05/15/25

    150,000       144,464  

3.250% due 11/15/27

    350,000       329,109  

3.600% due 04/01/40

    500,000       388,522  

3.650% due 03/25/41

    80,000       61,793  

3.850% due 07/15/36

    50,000       42,790  

3.850% due 04/01/60

    300,000       209,722  

3.900% due 05/15/35

    105,000       91,820  

3.950% due 03/25/51

    120,000       90,475  

4.000% due 07/15/46

    250,000       191,070  

4.100% due 03/25/61

    95,000       70,033  

4.300% due 07/08/34

    100,000       91,748  

4.375% due 05/15/55

    200,000       157,701  

6.125% due 07/08/39

    100,000       104,141  

6.250% due 11/09/32

    200,000       215,220  

6.500% due 04/15/38

    100,000       108,452  

Qorvo, Inc.
1.750% due 12/15/24 ~

    30,000       27,880  

QUALCOMM, Inc.

   

2.900% due 05/20/24

    50,000       49,071  
   

Principal
Amount

   

Value

 

3.250% due 05/20/27

    $50,000       $48,392  

3.450% due 05/20/25

    150,000       147,293  

4.250% due 05/20/32

    20,000       20,018  

4.300% due 05/20/47

    30,000       27,844  

4.500% due 05/20/52

    45,000       41,988  

4.800% due 05/20/45

    150,000       149,556  

6.000% due 05/20/53

    350,000       398,122  

Roper Technologies, Inc.

   

1.750% due 02/15/31

    200,000       159,998  

2.350% due 09/15/24

    15,000       14,447  

3.800% due 12/15/26

    30,000       29,090  

4.200% due 09/15/28

    95,000       93,485  

Salesforce, Inc.

   

0.625% due 07/15/24

    55,000       52,256  

1.500% due 07/15/28

    65,000       57,342  

1.950% due 07/15/31

    80,000       67,033  

2.700% due 07/15/41

    60,000       45,120  

2.900% due 07/15/51

    100,000       71,029  

3.050% due 07/15/61

    50,000       34,367  

ServiceNow, Inc.
1.400% due 09/01/30

    65,000       52,392  

Texas Instruments, Inc.

   

1.375% due 03/12/25

    250,000       236,150  

4.150% due 05/15/48

    100,000       93,116  

TSMC Arizona Corp. (Taiwan)

   

3.125% due 10/25/41

    200,000       160,905  

3.875% due 04/22/27

    200,000       196,558  

VMware, Inc.

   

2.200% due 08/15/31

    250,000       198,077  

3.900% due 08/21/27

    30,000       28,737  

Western Digital Corp.

   

2.850% due 02/01/29

    30,000       24,407  

3.100% due 02/01/32

    55,000       41,503  

Xilinx, Inc.
2.950% due 06/01/24

    100,000       97,705  
   

 

 

 
      22,461,268  
   

 

 

 

Utilities - 2.1%

 

AEP Texas, Inc.

   

3.450% due 05/15/51

    35,000       25,753  

4.700% due 05/15/32

    100,000       97,816  

AEP Transmission Co. LLC
4.250% due 09/15/48

    35,000       30,797  

AES Corp.

   

1.375% due 01/15/26

    75,000       67,540  

2.450% due 01/15/31

    100,000       81,508  

Alabama Power Co.

   

3.125% due 07/15/51

    100,000       71,097  

4.150% due 08/15/44

    90,000       77,489  

4.300% due 07/15/48

    15,000       13,035  

Ameren Illinois Co.

   

3.250% due 03/01/25

    50,000       48,677  

3.800% due 05/15/28

    50,000       48,675  

3.850% due 09/01/32

    50,000       47,332  

4.150% due 03/15/46

    50,000       43,255  

American Electric Power Co., Inc.

   

1.000% due 11/01/25

    30,000       27,258  

5.950% due 11/01/32

    100,000       106,493  

American Water Capital Corp.

   

2.300% due 06/01/31

    50,000       42,253  

2.950% due 09/01/27

    35,000       32,972  

3.250% due 06/01/51

    50,000       36,613  

3.450% due 06/01/29

    100,000       93,636  

3.750% due 09/01/47

    50,000       40,396  

4.300% due 12/01/42

    100,000       87,888  

4.450% due 06/01/32

    75,000       73,909  

Appalachian Power Co.

   

3.700% due 05/01/50

    150,000       116,091  

7.000% due 04/01/38

    150,000       174,329  

Arizona Public Service Co.

   

2.200% due 12/15/31

    65,000       51,786  

2.950% due 09/15/27

    50,000       46,364  

4.500% due 04/01/42

    100,000       87,038  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

212

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Atmos Energy Corp.

   

2.625% due 09/15/29

    $150,000       $134,376  

3.000% due 06/15/27

    30,000       28,390  

4.150% due 01/15/43

    64,000       56,806  

4.300% due 10/01/48

    50,000       44,432  

Avangrid, Inc.
3.150% due 12/01/24

    50,000       48,493  

Baltimore Gas and Electric Co.

   

2.900% due 06/15/50

    30,000       20,686  

3.200% due 09/15/49

    70,000       51,535  

3.750% due 08/15/47

    50,000       39,960  

Berkshire Hathaway Energy Co.

   

3.250% due 04/15/28

    30,000       28,500  

3.800% due 07/15/48

    25,000       20,147  

4.250% due 10/15/50

    200,000       172,265  

4.450% due 01/15/49

    50,000       45,070  

4.600% due 05/01/53

    250,000       228,348  

6.125% due 04/01/36

    99,000       109,124  

Black Hills Corp.

   

3.150% due 01/15/27

    50,000       46,985  

4.350% due 05/01/33

    30,000       27,594  

5.950% due 03/15/28

    100,000       103,682  

CenterPoint Energy Houston Electric LLC

   

2.350% due 04/01/31

    55,000       46,967  

2.400% due 09/01/26

    50,000       46,595  

3.000% due 02/01/27

    50,000       47,592  

3.350% due 04/01/51

    85,000       64,931  

CenterPoint Energy Resources Corp.

   

4.000% due 04/01/28

    100,000       97,890  

5.250% due 03/01/28

    200,000       205,228  

Commonwealth Edison Co.

   

3.150% due 03/15/32

    35,000       31,370  

3.700% due 08/15/28

    20,000       19,224  

3.750% due 08/15/47

    50,000       40,896  

3.800% due 10/01/42

    100,000       84,727  

4.900% due 02/01/33

    45,000       45,881  

Connecticut Light & Power Co.

   

0.750% due 12/01/25

    150,000       134,315  

4.150% due 06/01/45

    25,000       21,707  

Consolidated Edison Co. of New York, Inc.

   

2.400% due 06/15/31

    50,000       42,396  

3.600% due 06/15/61

    50,000       37,720  

3.950% due 03/01/43

    100,000       84,395  

3.950% due 04/01/50

    250,000       207,584  

4.000% due 12/01/28

    100,000       97,811  

4.125% due 05/15/49

    50,000       41,958  

4.300% due 12/01/56

    50,000       42,089  

4.500% due 12/01/45

    100,000       89,316  

6.150% due 11/15/52

    70,000       79,017  

Constellation Energy Generation LLC
5.600% due 03/01/28

    155,000       159,656  

Consumers Energy Co.

   

3.250% due 08/15/46

    50,000       37,480  

3.600% due 08/15/32

    65,000       60,209  

3.800% due 11/15/28

    100,000       96,579  

4.350% due 04/15/49

    100,000       90,548  

Dominion Energy South Carolina, Inc.

   

4.600% due 06/15/43

    100,000       92,413  

5.300% due 05/15/33

    50,000       51,996  

5.450% due 02/01/41

    50,000       51,295  

Dominion Energy, Inc.

   

1.450% due 04/15/26

    40,000       36,053  

2.250% due 08/15/31

    45,000       37,090  

2.850% due 08/15/26

    30,000       28,159  

3.071% due 08/15/24

    70,000       67,939  

3.300% due 04/15/41

    30,000       23,175  

3.375% due 04/01/30

    350,000       318,462  

4.250% due 06/01/28

    50,000       48,671  

4.700% due 12/01/44

    100,000       89,260  

DTE Electric Co.

   
   

Principal
Amount

   

Value

 

2.250% due 03/01/30

    $50,000       $43,430  

2.950% due 03/01/50

    50,000       35,221  

3.000% due 03/01/32

    150,000       132,207  

3.375% due 03/01/25

    50,000       48,682  

3.650% due 03/01/52

    55,000       43,880  

DTE Energy Co.
4.220% due 11/01/24

    75,000       74,203  

Duke Energy Carolinas LLC

   

3.750% due 06/01/45

    200,000       162,678  

4.950% due 01/15/33

    100,000       102,829  

5.350% due 01/15/53

    100,000       104,226  

6.050% due 04/15/38

    110,000       120,456  

6.100% due 06/01/37

    25,000       27,033  

Duke Energy Corp.

   

2.450% due 06/01/30

    160,000       136,465  

2.550% due 06/15/31

    100,000       83,773  

3.150% due 08/15/27

    50,000       47,028  

3.300% due 06/15/41

    100,000       75,492  

3.500% due 06/15/51

    100,000       73,230  

3.950% due 08/15/47

    50,000       39,820  

4.200% due 06/15/49

    65,000       53,301  

4.500% due 08/15/32

    180,000       174,189  

Duke Energy Florida LLC

   

1.750% due 06/15/30

    250,000       206,679  

2.500% due 12/01/29

    50,000       44,078  

5.950% due 11/15/52

    40,000       44,583  

Duke Energy Indiana LLC

   

2.750% due 04/01/50

    60,000       39,764  

3.250% due 10/01/49

    50,000       36,666  

3.750% due 05/15/46

    50,000       39,953  

4.900% due 07/15/43

    100,000       96,826  

5.400% due 04/01/53

    200,000       203,987  

Duke Energy Ohio, Inc.
2.125% due 06/01/30

    35,000       29,269  

Duke Energy Progress LLC
3.700% due 09/01/28

    100,000       96,045  

Edison International

   

4.700% due 08/15/25

    200,000       197,375  

5.750% due 06/15/27

    10,000       10,222  

El Paso Electric Co.
5.000% due 12/01/44

    50,000       45,336  

Emera US Finance LP (Canada)

   

3.550% due 06/15/26

    35,000       33,386  

4.750% due 06/15/46

    200,000       162,562  

Enel Chile SA (Chile)
4.875% due 06/12/28

    50,000       48,794  

Enel Generacion Chile SA (Chile)
4.250% due 04/15/24

    50,000       48,912  

Entergy Arkansas LLC

   

3.500% due 04/01/26

    50,000       48,755  

4.200% due 04/01/49

    50,000       42,920  

Entergy Corp.

   

0.900% due 09/15/25

    150,000       135,157  

2.800% due 06/15/30

    100,000       86,619  

2.950% due 09/01/26

    30,000       28,211  

Entergy Louisiana LLC

   

2.350% due 06/15/32

    100,000       82,218  

3.100% due 06/15/41

    400,000       310,429  

3.250% due 04/01/28

    50,000       46,711  

4.200% due 09/01/48

    50,000       43,408  

4.950% due 01/15/45

    40,000       37,409  

5.590% due 10/01/24

    50,000       50,426  

Essential Utilities, Inc.

   

2.400% due 05/01/31

    100,000       83,385  

5.300% due 05/01/52

    25,000       24,259  

Evergy Kansas Central, Inc.

   

3.100% due 04/01/27

    50,000       47,656  

4.100% due 04/01/43

    100,000       87,884  

5.700% due 03/15/53

    65,000       68,328  

Evergy Metro, Inc.
3.650% due 08/15/25

    50,000       48,323  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

213

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Eversource Energy

   

2.900% due 10/01/24

    $50,000       $48,246  

2.900% due 03/01/27

    100,000       93,374  

3.300% due 01/15/28

    100,000       93,841  

3.375% due 03/01/32

    100,000       89,882  

4.200% due 06/27/24

    55,000       54,495  

4.250% due 04/01/29

    25,000       24,575  

Exelon Corp.

   

3.950% due 06/15/25

    100,000       97,763  

4.050% due 04/15/30

    300,000       286,569  

4.100% due 03/15/52

    350,000       288,284  

4.450% due 04/15/46

    100,000       86,172  

4.950% due 06/15/35

    35,000       34,524  

5.100% due 06/15/45

    35,000       33,171  

Florida Power & Light Co.

   

2.850% due 04/01/25

    350,000       339,513  

2.875% due 12/04/51

    300,000       211,057  

3.700% due 12/01/47

    200,000       166,201  

4.950% due 06/01/35

    100,000       100,866  

5.100% due 04/01/33

    65,000       67,418  

5.690% due 03/01/40

    35,000       37,904  

5.950% due 02/01/38

    125,000       137,723  

Georgia Power Co.

   

4.300% due 03/15/42

    100,000       88,356  

4.700% due 05/15/32

    100,000       99,131  

5.125% due 05/15/52

    100,000       97,985  

Indiana Michigan Power Co.

   

3.250% due 05/01/51

    60,000       42,551  

4.250% due 08/15/48

    25,000       21,474  

Interstate Power & Light Co.
3.500% due 09/30/49

    25,000       18,872  

ITC Holdings Corp.

   

3.350% due 11/15/27

    50,000       47,113  

3.650% due 06/15/24

    25,000       24,524  

Kentucky Utilities Co.
4.375% due 10/01/45

    40,000       34,378  

Louisville Gas & Electric Co.
4.250% due 04/01/49

    35,000       30,202  

MidAmerican Energy Co.

   

3.650% due 08/01/48

    100,000       81,158  

6.750% due 12/30/31

    100,000       115,195  

Mississippi Power Co.
3.950% due 03/30/28

    25,000       24,077  

National Fuel Gas Co.
3.950% due 09/15/27

    50,000       47,039  

National Rural Utilities Cooperative Finance Corp.

   

1.350% due 03/15/31

    100,000       77,222  

1.650% due 06/15/31

    200,000       158,694  

4.023% due 11/01/32

    100,000       94,378  

5.450% due 10/30/25

    100,000       101,928  

8.000% due 03/01/32

    50,000       59,936  

Nevada Power Co.
5.900% due 05/01/53

    250,000       277,943  

NextEra Energy Capital Holdings, Inc.

   

2.250% due 06/01/30

    80,000       67,678  

4.800% due 12/01/77

    100,000       84,455  

5.050% due 02/28/33

    200,000       200,697  

5.650% due 05/01/79

    100,000       88,507  

6.051% due 03/01/25

    250,000       254,455  

NiSource, Inc.

   

0.950% due 08/15/25

    200,000       182,080  

3.490% due 05/15/27

    50,000       47,431  

3.950% due 03/30/48

    50,000       40,528  

4.800% due 02/15/44

    100,000       92,294  

5.250% due 02/15/43

    100,000       99,629  

Northern States Power Co.

   

2.600% due 06/01/51

    50,000       33,291  

4.500% due 06/01/52

    75,000       69,300  

Oglethorpe Power Corp.
5.050% due 10/01/48

    100,000       91,402  

Ohio Edison Co.
6.875% due 07/15/36

    150,000       171,859  
   

Principal
Amount

   

Value

 

Ohio Power Co.
1.625% due 01/15/31

    $65,000       $51,691  

Oklahoma Gas & Electric Co.

   

3.850% due 08/15/47

    50,000       39,952  

5.400% due 01/15/33

    70,000       72,253  

Oncor Electric Delivery Co. LLC

   

0.550% due 10/01/25

    70,000       63,307  

3.700% due 11/15/28

    100,000       96,931  

3.800% due 09/30/47

    50,000       41,688  

4.150% due 06/01/32

    40,000       38,632  

5.300% due 06/01/42

    100,000       103,409  

Pacific Gas & Electric Co.

   

6.150% due 01/15/33

    45,000       46,240  

6.700% due 04/01/53

    105,000       108,138  

6.750% due 01/15/53

    100,000       103,566  

Pacific Gas and Electric Co.

   

2.500% due 02/01/31

    100,000       81,099  

3.300% due 08/01/40

    250,000       177,720  

3.450% due 07/01/25

    400,000       381,581  

3.500% due 08/01/50

    45,000       29,767  

4.400% due 03/01/32

    100,000       90,221  

4.500% due 07/01/40

    300,000       246,714  

4.550% due 07/01/30

    300,000       281,286  

4.950% due 07/01/50

    200,000       165,146  

PacifiCorp

   

2.900% due 06/15/52

    80,000       55,001  

3.500% due 06/15/29

    35,000       33,047  

4.125% due 01/15/49

    70,000       60,002  

5.350% due 12/01/53

    300,000       307,684  

PECO Energy Co.

   

2.800% due 06/15/50

    45,000       30,639  

3.000% due 09/15/49

    55,000       39,373  

3.150% due 10/15/25

    50,000       48,284  

3.900% due 03/01/48

    60,000       50,790  

Piedmont Natural Gas Co., Inc.

   

3.350% due 06/01/50

    225,000       159,643  

4.650% due 08/01/43

    35,000       31,231  

PPL Electric Utilities Corp.

   

3.000% due 10/01/49

    70,000       50,509  

4.150% due 10/01/45

    25,000       21,903  

4.150% due 06/15/48

    100,000       89,092  

4.750% due 07/15/43

    50,000       47,228  

Progress Energy, Inc.
7.750% due 03/01/31

    100,000       115,795  

Public Service Co. of Colorado

   

due 04/01/53 #

    115,000       117,317  

2.700% due 01/15/51

    100,000       66,639  

3.700% due 06/15/28

    50,000       48,394  

3.800% due 06/15/47

    50,000       41,377  

5.250% due 06/15/31

    200,000       163,539  

Public Service Co. of New Hampshire
2.200% due 06/15/31

    30,000       25,381  

Public Service Co. of Oklahoma
2.200% due 08/15/31

    100,000       81,860  

Public Service Electric & Gas Co.
3.100% due 03/15/32

    100,000       89,439  

Public Service Electric and Gas Co.

   

0.950% due 03/15/26

    100,000       90,916  

2.050% due 08/01/50

    100,000       59,530  

3.000% due 03/01/51

    100,000       72,211  

3.200% due 08/01/49

    60,000       45,116  

4.050% due 05/01/48

    25,000       21,707  

Public Service Enterprise Group, Inc.

   

2.450% due 11/15/31

    100,000       82,853  

2.875% due 06/15/24

    70,000       68,121  

Puget Energy, Inc.

   

3.650% due 05/15/25

    100,000       96,659  

4.224% due 03/15/32

    70,000       64,162  

Puget Sound Energy, Inc.

   

2.893% due 09/15/51

    55,000       37,073  

5.795% due 03/15/40

    25,000       26,324  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

214

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

San Diego Gas & Electric Co.

   

1.700% due 10/01/30

    $95,000       $77,582  

3.750% due 06/01/47

    50,000       40,734  

4.100% due 06/15/49

    100,000       84,904  

4.150% due 05/15/48

    25,000       21,714  

Sempra Energy

   

3.400% due 02/01/28

    65,000       61,104  

3.800% due 02/01/38

    100,000       86,322  

4.125% due 04/01/52

    300,000       242,556  

Southern California Edison Co.

   

2.250% due 06/01/30

    120,000       102,022  

2.850% due 08/01/29

    75,000       67,132  

2.950% due 02/01/51

    320,000       216,071  

3.650% due 03/01/28

    50,000       47,263  

3.650% due 02/01/50

    70,000       54,037  

3.700% due 08/01/25

    30,000       29,255  

3.900% due 03/15/43

    50,000       40,781  

4.125% due 03/01/48

    10,000       8,293  

4.500% due 09/01/40

    50,000       44,480  

5.300% due 03/01/28

    200,000       205,163  

Southern California Gas Co.
2.600% due 06/15/26

    50,000       47,016  

Southern Co.

   

4.000% due 01/15/51

    350,000       321,978  

4.250% due 07/01/36

    30,000       27,557  

4.400% due 07/01/46

    450,000       392,666  

5.700% due 10/15/32

    65,000       68,421  

Southwest Gas Corp.

   

3.800% due 09/29/46

    50,000       37,918  

4.050% due 03/15/32

    60,000       55,239  

Southwestern Electric Power Co.

   

3.250% due 11/01/51

    200,000       139,555  

3.900% due 04/01/45

    50,000       39,509  

4.100% due 09/15/28

    50,000       48,491  

6.200% due 03/15/40

    50,000       52,699  

Southwestern Public Service Co.

   

3.300% due 06/15/24

    50,000       49,001  

3.750% due 06/15/49

    100,000       78,754  

Spire Missouri, Inc.
4.800% due 02/15/33

    60,000       59,927  

Tampa Electric Co.

   

4.300% due 06/15/48

    50,000       42,981  

4.450% due 06/15/49

    50,000       43,814  

Tucson Electric Power Co.

   

3.050% due 03/15/25

    50,000       48,403  

4.850% due 12/01/48

    100,000       91,602  

Union Electric Co.

   

2.625% due 03/15/51

    200,000       131,322  

3.900% due 04/01/52

    30,000       25,248  

8.450% due 03/15/39

    100,000       130,195  

Virginia Electric & Power Co.

   

2.300% due 11/15/31

    100,000       83,106  

2.400% due 03/30/32

    50,000       41,649  

2.950% due 11/15/26

    50,000       47,067  

3.150% due 01/15/26

    35,000       33,896  

3.750% due 05/15/27

    80,000       77,681  

3.800% due 09/15/47

    50,000       40,048  

4.000% due 11/15/46

    20,000       16,386  

5.000% due 04/01/33

    200,000       201,640  

8.875% due 11/15/38

    25,000       34,676  

Washington Gas Light Co.
3.650% due 09/15/49

    25,000       19,180  

WEC Energy Group, Inc.

   

2.200% due 12/15/28

    100,000       87,186  

4.750% due 01/15/28

    50,000       49,982  

Wisconsin Electric Power Co.
4.300% due 10/15/48

    10,000       8,812  

Wisconsin Power & Light Co.

   

3.050% due 10/15/27

    100,000       93,910  

4.950% due 04/01/33

    90,000       90,615  

Xcel Energy, Inc.

   

4.000% due 06/15/28

    50,000       48,649  
   

Principal
Amount

   

Value

 

4.600% due 06/01/32

    $35,000       $34,008  
   

 

 

 
      24,395,385  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $339,895,491)

      306,249,900  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 28.9%

 

Collateralized Mortgage Obligations - Commercial - 1.8%

 

Bank

   

1.844% due 03/15/63

    131,250       104,899  

1.997% due 11/15/53

    250,000       198,191  

2.470% due 09/15/64

    500,000       410,124  

2.649% due 01/15/63

    200,000       171,245  

2.920% due 12/15/52

    200,000       174,616  

3.175% due 09/15/60

    200,000       184,376  

Bank 2017-BNK4
3.625% due 05/15/50

    500,000       469,038  

BBCMS Mortgage Trust

   

2.299% due 02/15/54

    300,000       245,658  

2.639% due 02/15/53

    200,000       171,736  

3.662% due 04/15/55 §

    300,000       268,714  

Benchmark Mortgage Trust

   

1.850% due 09/15/53

    250,000       199,667  

1.925% due 07/15/53

    197,917       158,892  

2.576% due 11/15/54

    350,000       287,246  

2.577% due 04/15/54

    200,000       165,652  

2.732% due 02/15/53

    200,000       171,445  

4.121% due 07/15/51 §

    200,000       190,254  

CD Mortgage Trust
3.456% due 11/13/50

    175,000       161,628  

Citigroup Commercial Mortgage Trust

   

3.372% due 10/10/47

    285,194       275,342  

3.778% due 09/10/58

    600,000       575,805  

Commercial Mortgage Trust

   

3.525% due 02/10/49

    162,748       157,503  

3.819% due 06/10/47

    300,000       292,048  

4.228% due 05/10/51

    400,000       381,025  

CSAIL Commercial Mortgage Trust
3.458% due 11/15/50 §

    600,000       552,518  

Fannie Mae - Aces

   

1.270% due 07/25/30

    200,000       162,975  

1.464% due 02/25/31 §

    245,000       199,429  

1.669% due 10/25/31 §

    250,000       203,648  

1.682% due 11/25/32 §

    500,000       398,975  

1.821% due 02/25/30

    48,200       41,353  

2.723% due 10/25/24

    133,349       128,518  

2.906% due 01/25/28 §

    475,301       447,552  

2.980% due 08/25/29

    499,838       467,804  

2.990% due 12/25/27 §

    135,132       128,618  

3.061% due 05/25/27 §

    173,782       166,044  

3.631% due 08/25/30 §

    300,000       290,758  

Freddie Mac
3.303% due 11/25/27 §

    609,000       586,430  

Freddie Mac Multifamily Structured Pass-Through Certificates

   

1.350% due 05/25/30

    575,000       475,878  

1.406% due 08/25/30

    250,000       206,218  

1.477% due 04/25/30

    107,143       89,827  

1.517% due 03/25/30

    222,222       187,204  

1.547% due 10/25/30

    200,000       165,852  

1.558% due 04/25/30

    140,000       117,911  

1.621% due 12/25/30

    186,667       155,413  

1.872% due 01/25/30

    166,667       144,039  

1.940% due 02/25/35

    352,000       272,336  

2.020% due 03/25/31

    250,000       213,832  

2.361% due 10/25/36

    250,000       193,364  

2.524% due 10/25/29

    200,000       181,104  

2.673% due 03/25/26 - 09/25/29

    800,000       755,569  

2.745% due 01/25/26

    400,000       383,086  

2.862% due 05/25/26

    495,353       475,026  

2.946% due 07/25/24

    644,569       629,486  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

215

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

3.171% due 10/25/24

    $850,000       $828,899  

3.208% due 02/25/26

    375,000       363,633  

3.422% due 02/25/29

    196,721       188,952  

3.800% due 10/25/32 §

    350,000       338,762  

3.926% due 06/25/28

    100,000       98,809  

3.990% due 08/25/33 §

    42,000       41,173  

GS Mortgage Securities Trust
3.734% due 11/10/48

    1,000,000       952,468  

JPMBB Commercial Mortgage Securities Trust
4.274% due 12/15/48

    600,000       547,457  

JPMDB Commercial Mortgage Securities Trust
2.180% due 05/13/53

    300,000       246,073  

Morgan Stanley Bank of America Merrill Lynch Trust

   

3.720% due 12/15/49

    570,000       537,161  

3.753% due 12/15/47

    700,000       672,036  

Morgan Stanley Capital I Trust

   

2.728% due 05/15/54

    250,000       208,834  

3.596% due 12/15/49

    400,000       375,353  

Wells Fargo Commercial Mortgage Trust

   

2.626% due 04/15/54

    250,000       206,901  

2.652% due 08/15/49

    350,000       320,674  

2.925% due 04/15/50

    300,000       285,773  

3.453% due 07/15/50

    500,000       463,712  

4.184% due 06/15/51

    200,000       190,235  
   

 

 

 
      20,702,776  
   

 

 

 

Fannie Mae - 14.9%

 

due 04/17/38 #

    7,650,000       1,914,766  

due 04/13/53 #

    21,525,000       25,427,727  

1.500% due 12/01/35 - 11/01/51

    13,703,242       11,440,063  

2.000% due 11/01/35 - 04/01/52

    61,906,610       52,038,936  

2.500% due 10/01/27 - 04/01/52

    36,188,449       31,700,530  

3.000% due 02/01/27 - 05/01/52

    21,125,943       19,322,719  

3.246% (USD LIBOR + 1.695%)
due 06/01/38 §

    751       734  

3.500% due 10/01/25 - 06/01/52

    13,074,776       12,393,725  

3.940% (USD LIBOR + 1.690%)
due 08/01/39 §

    2,368       2,367  

4.000% due 04/01/24 - 10/01/52

    11,528,332       11,182,159  

4.500% due 05/01/24 - 08/01/52

    6,340,963       6,278,245  

5.000% due 09/01/23 - 10/01/52

    1,323,693       1,346,415  

5.500% due 11/01/33 - 02/01/53

    1,163,610       1,196,694  

6.000% due 09/01/34 - 02/01/53

    1,416,180       1,452,225  

6.500% due 09/01/36 - 07/01/38

    39,971       41,366  
   

 

 

 
      175,738,671  
   

 

 

 

Freddie Mac - 6.2%

 

1.500% due 02/01/37 - 05/01/51

    5,071,735       4,232,524  

2.000% due 09/01/35 - 03/01/52

    25,770,775       21,859,197  

2.500% due 08/01/28 - 01/01/52

    23,232,820       20,311,009  

3.000% due 09/01/26 - 03/01/52

    10,762,288       9,900,653  

3.500% due 03/01/26 - 09/01/52

    8,610,577       8,132,885  

4.000% due 02/01/25 - 01/01/48

    2,942,331       2,877,283  

4.500% due 08/01/24 - 12/01/52

    2,149,805       2,143,973  

5.000% due 12/01/31 - 02/01/53

    2,849,890       2,865,930  

5.500% due 04/01/34 - 12/01/52

    428,713       443,679  

6.000% due 04/01/36 - 05/01/40

    345,414       362,792  

6.500% due 08/01/37 - 04/01/39

    27,679       29,020  
   

 

 

 
      73,158,945  
   

 

 

 

Government National Mortgage Association - 6.0%

 

due 04/20/53 #

    8,000,000       7,811,392  

due 04/20/53 #

    5,050,000       4,778,831  

2.000% due 10/20/50 - 04/20/53

    17,598,257       15,002,998  

2.500% due 01/20/43 - 05/20/52

    17,062,224       15,066,924  

3.000% due 08/20/42 - 12/20/51

    11,307,706       10,419,084  

3.500% due 10/15/41 - 06/20/52

    8,648,972       8,224,296  

4.000% due 06/15/39 - 11/20/52

    4,580,373       4,463,159  
   

Principal
Amount

   

Value

 

4.500% due 02/15/39 - 12/20/52

    $3,073,023       $3,062,258  

5.000% due 05/15/36 - 11/20/52

    1,422,981       1,444,239  

5.500% due 04/15/37 - 04/15/40

    185,372       193,385  

6.000% due 01/15/38 - 06/15/41

    67,029       70,495  

6.500% due 10/15/38 - 02/15/39

    18,272       18,978  
   

 

 

 
      70,556,039  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $378,296,691)

      340,156,431  
   

 

 

 

ASSET-BACKED SECURITIES - 0.4%

 

American Express Credit Account Master Trust

   

0.900% due 11/15/26

    109,000       102,506  

3.750% due 08/15/27

    350,000       344,046  

Americredit Automobile Receivables Trust
5.620% due 11/18/27

    97,000       98,457  

BA Credit Card Trust
0.440% due 09/15/26

    27,000       25,776  

Capital One Multi-Asset Execution Trust
1.040% due 11/15/26

    350,000       329,600  

Capital One Prime Auto Receivables Trust
4.870% due 02/15/28

    175,000       176,304  

CarMax Auto Owner Trust
4.750% due 10/15/27

    180,000       180,317  

Chase Issuance Trust
3.970% due 09/15/27

    180,000       177,699  

Citibank Credit Card Issuance Trust
6.150% due 06/15/39

    250,000       281,463  

Discover Card Execution Note Trust

   

1.030% due 09/15/28

    272,000       242,819  

5.030% due 10/15/27

    100,000       101,378  

Ford Credit Auto Owner Trust
1.290% due 06/15/26

    182,000       174,354  

GM Financial Automobile Leasing Trust
3.420% due 06/20/25

    400,000       393,060  

GM Financial Consumer Automobile Receivables Trust
4.660% due 02/16/28

    55,000       55,217  

Harley-Davidson Motorcycle Trust
5.050% due 12/15/27

    300,000       303,131  

Honda Auto Receivables Owner Trust
5.040% due 04/21/27

    67,000       67,543  

Santander Drive Auto Receivables Trust
3.760% due 07/16/29

    300,000       289,662  

Synchrony Card Funding LLC
3.370% due 04/15/28

    180,000       174,850  

Toyota Auto Receivables Owner Trust
1.230% due 06/15/26

    250,000       238,648  

Verizon Master Trust
0.500% due 05/20/27

    350,000       332,906  

World Omni Auto Receivables Trust
0.840% due 09/15/27

    272,000       250,020  
   

 

 

 

Total Asset-Backed Securities
(Cost $4,468,074)

      4,339,756  
   

 

 

 

U.S. GOVERNMENT AGENCY ISSUES - 1.1%

 

Fannie Mae

   

0.375% due 08/25/25

    95,000       86,996  

0.500% due 11/07/25

    1,115,000       1,020,382  

0.625% due 04/22/25

    430,000       399,876  

0.750% due 10/08/27

    300,000       263,298  

0.875% due 08/05/30

    500,000       408,446  

2.625% due 09/06/24

    960,000       937,312  

5.625% due 07/15/37

    100,000       116,137  

6.625% due 11/15/30

    500,000       592,748  

7.125% due 01/15/30

    525,000       629,175  

Federal Farm Credit Banks Funding Corp.
3.375% due 08/26/24

    1,000,000       988,082  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

216

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Federal Home Loan Bank

   

0.375% due 09/04/25

    $475,000       $436,476  

0.500% due 04/14/25

    500,000       465,173  

1.250% due 12/21/26

    300,000       273,303  

5.500% due 07/15/36

    100,000       114,325  

Federal Home Loan Banks

   

3.250% due 11/16/28

    1,000,000       974,200  

4.500% due 10/03/24

    750,000       751,707  

Freddie Mac

   

0.375% due 07/21/25

    680,000       625,761  

0.375% due 09/23/25

    825,000       753,906  

1.500% due 02/12/25

    1,250,000       1,190,086  

2.750% due 06/28/24

    850,000       832,213  

6.250% due 07/15/32

    475,000       566,636  

Tennessee Valley Authority

   

3.500% due 12/15/42

    100,000       84,912  

3.875% due 03/15/28

    318,000       318,228  

4.250% due 09/15/65

    200,000       188,161  

5.250% due 09/15/39

    25,000       26,710  

5.375% due 04/01/56

    50,000       56,593  

6.750% due 11/01/25

    150,000       159,922  

7.125% due 05/01/30

    50,000       59,253  
   

 

 

 

Total U.S. Government Agency Issues
(Cost $13,909,687)

 

    13,320,017  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 40.8%

 

U.S. Treasury Bonds - 8.2%

 

1.125% due 05/15/40

    1,750,000       1,166,006  

1.125% due 08/15/40

    3,700,000       2,448,793  

1.250% due 05/15/50

    3,350,000       1,949,543  

1.375% due 11/15/40

    4,500,000       3,103,418  

1.375% due 08/15/50

    3,600,000       2,164,078  

1.625% due 11/15/50

    3,100,000       1,989,813  

1.750% due 08/15/41

    4,750,000       3,443,008  

1.875% due 02/15/41

    3,100,000       2,321,186  

1.875% due 02/15/51

    3,100,000       2,119,141  

1.875% due 11/15/51

    2,900,000       1,976,021  

2.000% due 11/15/41

    4,500,000       3,399,873  

2.000% due 02/15/50

    2,250,000       1,596,094  

2.000% due 08/15/51

    4,200,000       2,956,160  

2.250% due 05/15/41

    1,200,000       954,023  

2.250% due 08/15/46

    2,150,000       1,624,258  

2.250% due 08/15/49

    2,850,000       2,144,848  

2.250% due 02/15/52

    2,700,000       2,014,770  

2.375% due 02/15/42

    3,250,000       2,615,298  

2.375% due 11/15/49

    1,950,000       1,507,746  

2.375% due 05/15/51

    3,500,000       2,689,053  

2.500% due 02/15/45

    2,800,000       2,236,445  

2.500% due 02/15/46

    2,600,000       2,067,203  

2.500% due 05/15/46

    1,000,000       794,844  

2.750% due 08/15/42

    450,000       383,256  

2.750% due 11/15/42

    1,850,000       1,570,368  

2.750% due 11/15/47

    2,500,000       2,081,689  

2.875% due 08/15/45

    1,000,000       852,949  

2.875% due 05/15/49

    1,275,000       1,091,818  

2.875% due 05/15/52

    2,750,000       2,353,667  

3.000% due 05/15/42

    1,075,000       955,469  

3.000% due 05/15/45

    1,500,000       1,307,490  

3.000% due 11/15/45

    1,900,000       1,654,967  

3.000% due 02/15/47

    500,000       435,488  

3.000% due 05/15/47

    1,700,000       1,480,859  

3.000% due 02/15/48

    2,000,000       1,745,938  

3.000% due 08/15/48

    1,500,000       1,310,859  

3.000% due 02/15/49

    2,000,000       1,752,188  

3.000% due 08/15/52

    1,500,000       1,318,125  

3.125% due 11/15/41

    975,000       889,573  

3.125% due 02/15/43

    1,000,000       899,980  

3.125% due 08/15/44

    600,000       535,805  

3.125% due 05/15/48

    2,700,000       2,411,648  

3.250% due 05/15/42

    1,000,000       923,203  
   

Principal
Amount

   

Value

 

3.375% due 08/15/42

    $3,000,000       $2,818,125  

3.625% due 08/15/43

    1,525,000       1,481,514  

3.625% due 02/15/44

    500,000       484,082  

3.625% due 02/15/53

    1,350,000       1,340,613  

3.750% due 08/15/41

    1,300,000       1,299,111  

3.750% due 11/15/43

    1,000,000       988,574  

3.875% due 02/15/43

    750,000       756,855  

4.000% due 11/15/52

    2,200,000       2,335,438  

4.250% due 11/15/40

    750,000       805,781  

4.375% due 05/15/40

    1,025,000       1,119,452  

4.375% due 05/15/41

    775,000       843,842  

4.500% due 02/15/36

    1,750,000       1,947,388  

4.500% due 05/15/38

    500,000       554,922  

4.500% due 08/15/39

    700,000       777,807  

4.750% due 02/15/41

    1,350,000       1,539,053  

5.375% due 02/15/31

    1,100,000       1,240,852  

6.250% due 05/15/30

    1,050,000       1,227,905  
   

 

 

 
      96,798,275  
   

 

 

 

U.S. Treasury Notes - 32.6%

 

0.250% due 06/15/24

    2,500,000       2,378,174  

0.250% due 05/31/25

    2,750,000       2,538,271  

0.250% due 06/30/25

    3,500,000       3,226,904  

0.250% due 07/31/25

    5,000,000       4,593,262  

0.250% due 08/31/25

    3,500,000       3,207,285  

0.250% due 09/30/25

    4,200,000       3,844,641  

0.250% due 10/31/25

    6,000,000       5,472,305  

0.375% due 07/15/24

    5,000,000       4,750,684  

0.375% due 04/30/25

    3,000,000       2,783,320  

0.375% due 11/30/25

    2,500,000       2,281,201  

0.375% due 12/31/25

    3,500,000       3,191,221  

0.375% due 01/31/26

    4,000,000       3,632,188  

0.500% due 03/31/25

    3,000,000       2,798,848  

0.500% due 02/28/26

    3,500,000       3,182,061  

0.500% due 05/31/27

    3,500,000       3,072,412  

0.500% due 06/30/27

    1,000,000       876,172  

0.500% due 08/31/27

    2,500,000       2,179,785  

0.500% due 10/31/27

    2,000,000       1,736,094  

0.625% due 10/15/24

    2,750,000       2,601,650  

0.625% due 07/31/26

    3,250,000       2,932,554  

0.625% due 12/31/27

    5,000,000       4,349,902  

0.625% due 05/15/30

    3,350,000       2,743,467  

0.625% due 08/15/30

    3,400,000       2,771,730  

0.750% due 11/15/24

    3,500,000       3,309,687  

0.750% due 03/31/26

    2,500,000       2,287,891  

0.750% due 04/30/26

    2,500,000       2,279,883  

0.750% due 05/31/26

    3,000,000       2,729,648  

0.750% due 08/31/26

    3,000,000       2,712,188  

0.750% due 01/31/28

    2,500,000       2,184,326  

0.875% due 06/30/26

    4,500,000       4,104,580  

0.875% due 09/30/26

    2,950,000       2,672,516  

0.875% due 11/15/30

    4,250,000       3,519,614  

1.000% due 12/15/24

    2,000,000       1,895,820  

1.000% due 07/31/28

    2,000,000       1,748,711  

1.125% due 01/15/25

    3,000,000       2,843,906  

1.125% due 02/28/25

    3,500,000       3,310,371  

1.125% due 10/31/26

    5,000,000       4,561,719  

1.125% due 02/28/27

    750,000       680,889  

1.125% due 02/29/28

    2,750,000       2,443,042  

1.125% due 08/31/28

    2,750,000       2,415,435  

1.125% due 02/15/31

    3,500,000       2,948,408  

1.250% due 08/31/24

    3,250,000       3,112,954  

1.250% due 11/30/26

    5,000,000       4,575,293  

1.250% due 12/31/26

    3,500,000       3,197,988  

1.250% due 03/31/28

    4,000,000       3,568,984  

1.250% due 04/30/28

    2,500,000       2,226,709  

1.250% due 05/31/28

    3,000,000       2,668,535  

1.250% due 06/30/28

    1,500,000       1,331,807  

1.250% due 09/30/28

    3,000,000       2,648,027  

1.250% due 08/15/31

    5,500,000       4,615,059  

1.375% due 01/31/25

    4,000,000       3,807,891  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

217

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

1.375% due 08/31/26

    $3,500,000       $3,231,895  

1.375% due 10/31/28

    5,000,000       4,437,402  

1.375% due 12/31/28

    2,400,000       2,126,484  

1.375% due 11/15/31

    7,500,000       6,332,520  

1.500% due 09/30/24

    3,000,000       2,879,297  

1.500% due 10/31/24

    2,000,000       1,916,484  

1.500% due 02/15/25

    2,000,000       1,905,859  

1.500% due 08/15/26

    3,200,000       2,971,187  

1.500% due 01/31/27

    3,500,000       3,223,145  

1.500% due 11/30/28

    2,500,000       2,230,713  

1.500% due 02/15/30

    3,250,000       2,850,098  

1.625% due 02/15/26

    1,900,000       1,787,521  

1.625% due 05/15/26

    1,300,000       1,217,607  

1.625% due 10/31/26

    5,500,000       5,111,025  

1.625% due 08/15/29

    2,000,000       1,784,531  

1.625% due 05/15/31

    6,000,000       5,216,484  

1.750% due 12/31/24

    1,600,000       1,535,469  

1.750% due 03/15/25

    1,500,000       1,435,049  

1.750% due 12/31/26

    2,500,000       2,328,516  

1.750% due 01/31/29

    1,500,000       1,354,365  

1.875% due 08/31/24

    3,000,000       2,899,043  

1.875% due 07/31/26

    1,000,000       941,094  

1.875% due 02/28/27

    3,000,000       2,800,020  

1.875% due 02/28/29

    3,000,000       2,726,309  

1.875% due 02/15/32

    3,500,000       3,072,754  

2.000% due 05/31/24

    3,500,000       3,403,066  

2.000% due 02/15/25

    2,000,000       1,923,516  

2.000% due 11/15/26

    1,000,000       940,859  

2.125% due 05/15/25

    3,500,000       3,365,879  

2.125% due 05/31/26

    3,000,000       2,852,109  

2.250% due 04/30/24

    3,250,000       3,169,931  

2.250% due 10/31/24

    800,000       775,516  

2.250% due 11/15/24

    2,000,000       1,937,852  

2.250% due 12/31/24

    2,500,000       2,418,994  

2.250% due 11/15/25

    2,200,000       2,111,656  

2.250% due 08/15/27

    4,200,000       3,963,504  

2.250% due 11/15/27

    2,300,000       2,164,201  

2.375% due 08/15/24

    9,550,000       9,298,939  

2.375% due 04/30/26

    1,000,000       959,414  

2.375% due 05/15/27

    2,750,000       2,612,983  

2.375% due 03/31/29

    2,675,000       2,498,042  

2.375% due 05/15/29

    1,000,000       933,320  

2.500% due 05/15/24

    5,000,000       4,891,602  

2.500% due 05/31/24

    1,500,000       1,466,836  

2.500% due 01/31/25

    4,000,000       3,885,234  

2.500% due 03/31/27

    2,500,000       2,388,330  

2.625% due 04/15/25

    2,000,000       1,944,141  

2.625% due 05/31/27

    2,500,000       2,397,705  

2.625% due 02/15/29

    2,750,000       2,608,364  

2.625% due 07/31/29

    2,000,000       1,892,109  

2.750% due 04/30/27

    2,000,000       1,928,086  

2.750% due 07/31/27

    1,500,000       1,444,922  

2.750% due 02/15/28

    3,500,000       3,362,939  

2.750% due 05/31/29

    2,000,000       1,906,797  

2.750% due 08/15/32

    3,000,000       2,823,984  

2.875% due 05/31/25

    1,200,000       1,171,852  

2.875% due 06/15/25

    1,000,000       976,641  

2.875% due 05/15/28

    2,500,000       2,412,256  

2.875% due 08/15/28

    1,750,000       1,686,050  

2.875% due 04/30/29

    2,000,000       1,920,742  

2.875% due 05/15/32

    3,500,000       3,331,562  

3.000% due 06/30/24

    2,000,000       1,964,805  

3.000% due 07/31/24

    3,500,000       3,437,383  

3.000% due 07/15/25

    1,500,000       1,468,301  

3.125% due 08/31/27

    2,500,000       2,445,898  

3.125% due 11/15/28

    3,000,000       2,925,469  

3.125% due 08/31/29

    3,000,000       2,920,898  

3.250% due 08/31/24

    2,000,000       1,970,078  

3.250% due 06/30/27

    4,000,000       3,932,031  

3.250% due 06/30/29

    1,750,000       1,716,162  

3.500% due 01/31/28

    1,000,000       994,922  

3.500% due 01/31/30

    1,500,000       1,494,141  
   

Principal
Amount

   

Value

 

3.500% due 02/15/33

    $3,500,000       $3,505,742  

3.625% due 03/31/28

    750,000       751,289  

3.625% due 03/31/30

    2,000,000       2,009,688  

3.875% due 03/31/25

    2,000,000       1,994,023  

3.875% due 11/30/27

    2,500,000       2,526,416  

3.875% due 12/31/27

    1,500,000       1,516,084  

3.875% due 09/30/29

    1,500,000       1,525,020  

3.875% due 12/31/29

    2,000,000       2,036,563  

4.000% due 12/15/25

    3,000,000       3,012,129  

4.000% due 02/29/28

    5,000,000       5,090,820  

4.000% due 10/31/29

    1,500,000       1,536,563  

4.000% due 02/28/30

    2,000,000       2,053,125  

4.125% due 09/30/27

    1,000,000       1,019,063  

4.125% due 10/31/27

    3,000,000       3,058,125  

4.125% due 11/15/32

    3,450,000       3,625,734  

4.250% due 12/31/24

    3,500,000       3,503,623  

4.375% due 10/31/24

    1,000,000       1,001,348  

4.500% due 11/30/24

    3,500,000       3,514,355  

4.500% due 11/15/25

    3,500,000       3,552,295  

4.625% due 03/15/26

    2,000,000       2,045,703  
   

 

 

 
      383,778,612  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $525,210,504)

 

    480,576,887  
   

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 1.6%

 

Canada Government (Canada)

   

0.750% due 05/19/26

    300,000       272,786  

1.625% due 01/22/25

    150,000       143,506  

Chile Government (Chile)

   

2.550% due 07/27/33

    250,000       206,159  

3.100% due 01/22/61

    400,000       261,523  

3.125% due 01/21/26

    75,000       72,832  

3.500% due 01/31/34

    200,000       178,483  

3.860% due 06/21/47

    300,000       246,365  

Export Development Canada (Canada)

   

3.000% due 05/25/27

    200,000       194,136  

3.375% due 08/26/25

    90,000       88,709  

3.875% due 02/14/28

    100,000       100,609  

Export-Import Bank of Korea (South Korea)

   

0.625% due 02/09/26

    200,000       178,627  

1.625% due 01/18/27

    400,000       361,010  

5.125% due 01/11/33

    200,000       208,265  

Indonesia Government (Indonesia)

   

2.850% due 02/14/30

    200,000       181,053  

3.200% due 09/23/61

    200,000       139,793  

3.550% due 03/31/32

    200,000       183,868  

4.200% due 10/15/50

    300,000       259,893  

4.550% due 01/11/28

    200,000       200,212  

4.850% due 01/11/33

    200,000       199,289  

Israel Government AID
5.500% due 04/26/24

    25,000       25,231  

Israel Government International (Israel)
2.750% due 07/03/30

    200,000       181,187  

Japan Bank for International Cooperation (Japan)

   

0.625% due 07/15/25

    235,000       215,894  

1.250% due 01/21/31

    500,000       405,319  

1.875% due 07/21/26

    200,000       185,416  

1.875% due 04/15/31

    200,000       169,505  

2.500% due 05/23/24

    200,000       195,230  

3.250% due 07/20/28

    200,000       191,590  

4.250% due 01/26/26

    500,000       500,600  

Japan International Cooperation Agency (Japan)
3.375% due 06/12/28

    200,000       191,385  

Korea Development Bank (South Korea)

   

2.000% due 09/12/26

    200,000       183,094  

4.000% due 09/08/25

    200,000       197,268  

4.250% due 09/08/32

    200,000       196,731  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

218

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Korea International (South Korea)

   

1.750% due 10/15/31

    $200,000       $169,668  

2.750% due 01/19/27

    200,000       192,263  

Mexico Government (Mexico)

   

2.659% due 05/24/31

    200,000       167,410  

3.500% due 02/12/34

    200,000       170,062  

3.900% due 04/27/25

    350,000       346,514  

4.150% due 03/28/27

    200,000       196,646  

4.280% due 08/14/41

    200,000       163,928  

4.400% due 02/12/52

    400,000       313,540  

4.500% due 01/31/50

    200,000       161,766  

4.600% due 01/23/46

    250,000       206,270  

4.600% due 02/10/48

    200,000       163,772  

4.750% due 04/27/32

    350,000       336,906  

4.750% due 03/08/44

    264,000       225,003  

6.750% due 09/27/34

    225,000       248,412  

Panama Government (Panama)

   

3.870% due 07/23/60

    200,000       131,580  

4.500% due 05/15/47

    350,000       275,368  

6.400% due 02/14/35

    265,000       276,907  

6.700% due 01/26/36

    100,000       106,083  

6.853% due 03/28/54

    200,000       205,566  

8.875% due 09/30/27

    100,000       116,424  

Peruvian Government (Peru)

   

2.780% due 12/01/60

    200,000       119,720  

2.783% due 01/23/31

    300,000       256,805  

3.300% due 03/11/41

    250,000       188,110  

4.125% due 08/25/27

    150,000       147,321  

8.750% due 11/21/33

    200,000       252,539  

Philippine Government (Philippines)

   

1.648% due 06/10/31

    200,000       160,890  

2.650% due 12/10/45

    200,000       137,538  

2.950% due 05/05/45

    200,000       144,536  

3.000% due 02/01/28

    200,000       188,648  

5.609% due 04/13/33

    200,000       213,064  

6.375% due 10/23/34

    250,000       281,250  

7.750% due 01/14/31

    200,000       236,525  

Philippines Government (Philippines)
5.000% due 07/17/33

    200,000       203,493  

Province of Alberta Canada (Canada)

   

1.300% due 07/22/30

    250,000       207,719  

1.875% due 11/13/24

    350,000       335,976  

Province of British Columbia Canada (Canada)
1.300% due 01/29/31

    500,000       416,253  

Province of Manitoba Canada (Canada)
1.500% due 10/25/28

    155,000       136,588  

Province of New Brunswick Canada (Canada)
3.625% due 02/24/28

    50,000       49,103  

Province of Ontario Canada (Canada)

   

0.625% due 01/21/26

    300,000       272,785  

1.050% due 04/14/26

    200,000       183,084  

1.050% due 05/21/27

    200,000       178,208  

2.000% due 10/02/29

    100,000       89,101  

2.125% due 01/21/32

    150,000       130,140  

2.300% due 06/15/26

    250,000       236,866  

Province of Quebec Canada (Canada)

   

0.600% due 07/23/25

    100,000       92,319  

1.350% due 05/28/30

    50,000       42,163  

1.500% due 02/11/25

    350,000       332,856  

1.900% due 04/21/31

    200,000       172,691  

2.500% due 04/09/24

    65,000       63,580  

7.500% due 09/15/29

    75,000       89,503  

Republic of Italy Government International Bond (Italy)

   

0.875% due 05/06/24

    200,000       190,290  

2.875% due 10/17/29

    200,000       174,264  

3.875% due 05/06/51

    200,000       143,691  

4.000% due 10/17/49

    200,000       152,614  

Republic of Poland Government (Poland)
5.750% due 11/16/32

    65,000       69,225  

State of Israel (Israel)
3.375% due 01/15/50

    500,000       384,119  
   

Principal
Amount

   

Value

 

Svensk Exportkredit AB (Sweden)

   

0.375% due 07/30/24

    $250,000       $236,749  

0.625% due 10/07/24

    560,000       528,914  

Uruguay Government International Bond (Uruguay)

   

4.125% due 11/20/45

    143,467       132,603  

4.375% due 10/27/27

    200,000       200,594  

5.100% due 06/18/50

    200,000       200,916  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $20,777,358)

 

    18,663,009  
   

 

 

 

MUNICIPAL BONDS - 0.6%

 

American Municipal Power, Inc.

   

6.449% due 02/15/44

    25,000       28,568  

8.084% due 02/15/50

    300,000       415,650  

Bay Area Toll Authority CA

   

6.263% due 04/01/49

    25,000       30,392  

7.043% due 04/01/50

    50,000       64,981  

California State University
2.975% due 11/01/51

    50,000       35,712  

Central Puget Sound Regional Transit Authority
5.491% due 11/01/39

    25,000       27,443  

Chicago O’Hare International Airport
4.472% due 01/01/49

    50,000       47,174  

Chicago Transit Authority Sales & Transfer Tax Receipts Revenue IL
6.899% due 12/01/40

    95,000       109,886  

City of Atlanta GA Water & Wastewater Revenue
2.257% due 11/01/35

    100,000       81,585  

City of Chicago
7.750% due 01/01/42

    42,000       44,036  

City of Houston TX
3.961% due 03/01/47

    50,000       44,509  

City of New York NY
5.517% due 10/01/37

    40,000       43,097  

City of San Antonio TX Electric & Gas Systems Revenue
2.905% due 02/01/48

    60,000       43,714  

Commonwealth of Massachusetts

   

4.910% due 05/01/29

    100,000       101,850  

5.456% due 12/01/39

    25,000       26,926  

County of Clark Department of Aviation NV
6.820% due 07/01/45

    125,000       155,278  

Dallas Area Rapid Transit
2.613% due 12/01/48

    200,000       140,276  

Dallas Fort Worth International Airport
4.507% due 11/01/51

    100,000       92,680  

Dallas Independent School District
6.450% due 02/15/35

    50,000       50,621  

Golden State Tobacco Securitization Corp.
4.214% due 06/01/50

    150,000       117,826  

Grand Parkway Transportation Corp.
3.236% due 10/01/52

    250,000       187,793  

JobsOhio Beverage System
2.833% due 01/01/38

    10,000       8,205  

Los Angeles Unified School District CA
6.758% due 07/01/34

    100,000       115,918  

Massachusetts School Building Authority

   

2.950% due 05/15/43

    50,000       39,600  

3.395% due 10/15/40

    20,000       16,823  

Metropolitan Transportation Authority NY

   

5.871% due 11/15/39

    25,000       25,117  

6.668% due 11/15/39

    55,000       59,395  

Municipal Electric Authority of Georgia

   

6.637% due 04/01/57

    25,000       27,465  

6.655% due 04/01/57

    96,000       106,443  

New Jersey Economic Development Authority
7.425% due 02/15/29

    125,000       136,587  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

219

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

New Jersey Turnpike Authority
7.102% due 01/01/41

    $100,000       $123,544  

New York City Municipal Water Finance Authority

   

5.952% due 06/15/42

    50,000       57,398  

6.011% due 06/15/42

    10,000       11,544  

New York City Transitional Finance Authority Future Tax Secured Revenue NY
5.572% due 11/01/38

    30,000       32,020  

New York State Dormitory Authority
3.142% due 07/01/43

    100,000       82,468  

New York State Urban Development Corp.

   

3.900% due 03/15/33

    50,000       47,448  

5.770% due 03/15/39

    25,000       26,206  

Pennsylvania Turnpike Commission
5.511% due 12/01/45

    75,000       82,463  

Permanent University Fund - University of Texas System
3.376% due 07/01/47

    185,000       150,938  

Port Authority of New York & New Jersey

   

3.175% due 07/15/60

    250,000       178,469  

4.031% due 09/01/48

    50,000       44,408  

4.229% due 10/15/57

    30,000       27,005  

4.458% due 10/01/62

    100,000       93,731  

5.647% due 11/01/40

    150,000       162,395  

Rutgers The State University of New Jersey
3.915% due 05/01/19

    15,000       11,252  

Sales Tax Securitization Corp.
4.787% due 01/01/48

    50,000       47,773  

San Diego County Regional Transportation Commission CA
5.911% due 04/01/48

    50,000       56,628  

State Board of Administration Finance Corp.
2.154% due 07/01/30

    100,000       84,914  

State of California

   

1.700% due 02/01/28

    200,000       177,330  

3.500% due 04/01/28

    100,000       96,344  

5.125% due 03/01/38

    200,000       204,557  

7.300% due 10/01/39

    100,000       124,313  

7.500% due 04/01/34

    50,000       62,581  

7.600% due 11/01/40

    270,000       356,206  

7.625% due 03/01/40

    40,000       51,812  

State of Connecticut
5.090% due 10/01/30

    50,000       51,128  

State of Illinois
6.725% due 04/01/35

    400,000       426,964  

State of Texas
5.517% due 04/01/39

    100,000       110,087  

State of Utah
4.554% due 07/01/24

    5,000       4,986  

State of Wisconsin
3.154% due 05/01/27

    250,000       239,299  

Texas Transportation Commission
2.562% due 04/01/42

    350,000       268,230  

Texas Transportation Commission State Highway Fund
5.178% due 04/01/30

    25,000       25,883  

University of California

   

3.063% due 07/01/25

    50,000       48,766  

4.132% due 05/15/32

    100,000       96,186  

4.767% due 05/15/15

    75,000       68,400  

4.858% due 05/15/12

    100,000       93,467  

University of Michigan

   

3.599% due 04/01/47

    80,000       71,195  

4.454% due 04/01/22

    100,000       90,601  
   

 

 

 

Total Municipal Bonds
(Cost $6,877,312)

      6,414,489  
   

 

 

 
   

    

Shares

   

Value

 

SHORT-TERM INVESTMENT - 4.2%

 

Money Market Fund - 4.2%

 

BlackRock Liquidity Funds T-Fund Institutional Shares 4.700%

    49,722,745       $49,722,745  
   

 

 

 

Total Short-Term Investment
(Cost $49,722,745)

      49,722,745  
   

 

 

 

TOTAL INVESTMENTS - 103.6%
(Cost $1,339,157,862)

      1,219,443,234  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (3.6%)

      (41,901,192
   

 

 

 

NET ASSETS - 100.0%

      $1,177,542,042  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

220

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Note to Schedule of Investments

 

(a)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $306,249,900        $-        $306,249,900        $-  
 

Mortgage-Backed Securities

     340,156,431        -        340,156,431        -  
 

Asset-Backed Securities

     4,339,756        -        4,339,756        -  
 

U.S. Government Agency Issues

     13,320,017        -        13,320,017        -  
 

U.S. Treasury Obligations

     480,576,887        -        480,576,887        -  
 

Foreign Government Bonds & Notes

     18,663,009        -        18,663,009        -  
 

Municipal Bonds

     6,414,489        -        6,414,489        -  
 

Short-Term Investment

     49,722,745        49,722,745        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,219,443,234        $49,722,745        $1,169,720,489        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

221

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 0.0%

 

Energy - 0.0%

 

Patterson-UTI Energy, Inc.

    306       $3,580  
   

 

 

 

Financial - 0.0%

 

Stearns Holdings LLC Class B * W ±

    3,570       -  
   

 

 

 

Total Common Stocks
(Cost $44,991)

      3,580  
   

 

 

 
   

Principal
Amount

       

CORPORATE BONDS & NOTES - 97.0%

 

Basic Materials - 4.9%

 

Arconic Corp.
6.000% due 05/15/25 ~

    $90,000       90,225  

Ashland LLC

   

3.375% due 09/01/31 ~

    200,000       163,798  

6.875% due 05/15/43

    128,000       128,970  

ATI, Inc.

   

4.875% due 10/01/29

    200,000       182,316  

5.125% due 10/01/31

    50,000       45,573  

5.875% due 12/01/27

    200,000       195,621  

Carpenter Technology Corp.
6.375% due 07/15/28

    125,000       122,052  

Cerdia Finanz GmbH (Germany)
10.500% due 02/15/27 ~

    355,000       326,523  

Chemours Co.

   

4.625% due 11/15/29 ~

    100,000       82,591  

5.750% due 11/15/28 ~

    170,000       151,967  

Cleveland-Cliffs, Inc.

   

4.625% due 03/01/29 ~

    120,000       110,233  

6.250% due 10/01/40

    100,000       84,688  

6.750% due 03/15/26 ~

    137,000       139,603  

Coeur Mining, Inc.
5.125% due 02/15/29 ~

    300,000       254,635  

Commercial Metals Co.

   

3.875% due 02/15/31

    200,000       169,794  

4.125% due 01/15/30

    95,000       83,938  

4.375% due 03/15/32

    90,000       77,558  

4.875% due 05/15/23

    100,000       99,985  

Compass Minerals International, Inc.

   

4.875% due 07/15/24 ~

    50,000       47,549  

6.750% due 12/01/27 ~

    135,000       128,656  

Consolidated Energy Finance SA (Switzerland)
5.625% due 10/15/28 ~

    200,000       172,256  

Constellium SE
5.625% due 06/15/28 ~

    250,000       236,309  

Cornerstone Chemical Co.
8.250% Cash or 2.000% PIK due 09/01/27 ~

    150,000       135,187  

CVR Partners LP/CVR Nitrogen Finance Corp.
6.125% due 06/15/28 ~

    150,000       133,141  

FMG Resources August 2006 Pty. Ltd. (Australia)

   

4.375% due 04/01/31 ~

    474,000       416,416  

5.125% due 05/15/24 ~

    90,000       89,131  

5.875% due 04/15/30 ~

    275,000       263,942  

GPD Cos., Inc.
10.125% due 04/01/26 ~

    225,000       204,817  

HB Fuller Co.
4.250% due 10/15/28

    225,000       199,860  
   

Principal
Amount

   

Value

 

Herens Holdco SARL (Luxembourg)
4.750% due 05/15/28 ~

    $200,000       $161,213  

Hudbay Minerals, Inc. (Canada)
6.125% due 04/01/29 ~

    350,000       331,091  

INEOS Finance PLC (Luxembourg)
6.750% due 05/15/28 ~

    250,000       241,624  

Ingevity Corp.
3.875% due 11/01/28 ~

    115,000       98,673  

Innophos Holdings, Inc.
9.375% due 02/15/28 ~

    125,000       127,912  

Kaiser Aluminum Corp.

   

4.500% due 06/01/31 ~

    131,000       107,747  

4.625% due 03/01/28 ~

    114,000       101,607  

Mativ Holdings, Inc.
6.875% due 10/01/26 ~

    75,000       68,704  

Mercer International, Inc. (Germany)

   

5.125% due 02/01/29

    294,000       252,105  

5.500% due 01/15/26

    150,000       146,293  

Methanex Corp. (Canada)

   

5.125% due 10/15/27

    125,000       117,942  

5.650% due 12/01/44

    50,000       41,224  

Mineral Resources Ltd. (Australia)

   

8.000% due 11/01/27 ~

    175,000       180,162  

8.125% due 05/01/27 ~

    213,000       216,405  

8.500% due 05/01/30 ~

    205,000       210,596  

New Gold, Inc. (Canada)
7.500% due 07/15/27 ~

    165,000       158,976  

Novelis Corp.
3.250% due 11/15/26 ~

    375,000       343,039  

OCI NV (Netherlands)
4.625% due 10/15/25 ~

    160,000       152,014  

Olympus Water US Holding Corp.

   

4.250% due 10/01/28 ~

    400,000       331,394  

6.250% due 10/01/29 ~

    150,000       111,167  

Rayonier AM Products, Inc.
5.500% due 06/01/24 ~

    81,000       81,124  

SCIH Salt Holdings, Inc.

   

4.875% due 05/01/28 ~

    221,000       197,291  

6.625% due 05/01/29 ~

    105,000       87,021  

SK Invictus Intermediate II SARL
5.000% due 10/30/29 ~

    165,000       137,168  

TMS International Corp.
6.250% due 04/15/29 ~

    50,000       38,607  

Trinseo Materials Operating SCA/Trinseo Materials Finance, Inc.
5.375% due 09/01/25 ~

    175,000       142,410  

Valvoline, Inc.

   

3.625% due 06/15/31 ~

    195,000       165,807  

4.250% due 02/15/30 ~

    176,000       172,753  

WR Grace Holdings LLC

   

5.625% due 08/15/29 ~

    390,000       331,500  

7.375% due 03/01/31 ~

    100,000       100,474  
   

 

 

 
      9,491,377  
   

 

 

 

Communications - 16.4%

 

Acuris Finance Us, Inc./Acuris Finance SARL
5.000% due 05/01/28 ~

    200,000       157,263  

Altice Financing SA (Luxembourg)
5.750% due 08/15/29 ~

    600,000       477,543  

Altice France Holding SA (Luxembourg)
10.500% due 05/15/27 ~

    205,000       157,010  

Altice France SA (France)

   

5.125% due 01/15/29 ~

    350,000       267,125  

5.125% due 07/15/29 ~

    500,000       376,725  

5.500% due 10/15/29 ~

    640,000       489,956  

AMC Networks, Inc.

   

4.250% due 02/15/29

    248,000       152,742  

4.750% due 08/01/25

    350,000       310,774  

5.000% due 04/01/24

    160,000       157,992  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

222

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Audacy Capital Corp.
6.500% due 05/01/27 ~

    $150,000       $10,976  

Cable One, Inc.
4.000% due 11/15/30 ~

    410,000       334,204  

Cablevision Lightpath LLC
3.875% due 09/15/27 ~

    200,000       161,168  

CCO Holdings LLC/CCO Holdings Capital Corp.

   

4.250% due 02/01/31 ~

    945,000       773,794  

4.250% due 01/15/34 ~

    200,000       156,637  

4.500% due 08/15/30 ~

    500,000       423,068  

4.500% due 05/01/32

    879,000       719,822  

4.750% due 02/01/32 ~

    190,000       159,810  

5.125% due 05/01/27 ~

    100,000       94,624  

5.375% due 06/01/29 ~

    289,000       265,686  

5.500% due 05/01/26 ~

    225,000       219,098  

6.375% due 09/01/29 ~

    270,000       258,093  

7.375% due 03/01/31 ~

    200,000       197,000  

Cengage Learning, Inc.
9.500% due 06/15/24 ~

    61,000       59,036  

Ciena Corp.
4.000% due 01/31/30 ~

    180,000       156,762  

Clear Channel Outdoor Holdings, Inc.
7.500% due 06/01/29 ~

    225,000       160,110  

Cogent Communications Group, Inc.
7.000% due 06/15/27 ~

    180,000       178,632  

CommScope Technologies LLC
6.000% due 06/15/25 ~

    313,000       295,076  

CommScope, Inc.

   

4.750% due 09/01/29 ~

    395,000       329,628  

6.000% due 03/01/26 ~

    230,000       222,227  

7.125% due 07/01/28 ~

    119,000       87,914  

8.250% due 03/01/27 ~

    290,000       237,800  

Connect Finco SARL/Connect US Finco LLC (United Kingdom)
6.750% due 10/01/26 ~

    627,000       589,944  

Consolidated Communications, Inc.
6.500% due 10/01/28 ~

    102,000       74,184  

CSC Holdings LLC

   

3.375% due 02/15/31 ~

    200,000       138,540  

4.125% due 12/01/30 ~

    200,000       143,819  

4.625% due 12/01/30 ~

    566,000       279,632  

5.000% due 11/15/31 ~

    300,000       152,277  

5.250% due 06/01/24

    204,000       197,093  

5.375% due 02/01/28 ~

    350,000       287,072  

7.500% due 04/01/28 ~

    200,000       127,680  

Cumulus Media New Holdings, Inc.
6.750% due 07/01/26 ~

    50,000       38,061  

Directv Financing LLC/Directv Financing Co.-Obligor, Inc.
5.875% due 08/15/27 ~

    740,000       670,928  

DISH DBS Corp.

   

5.250% due 12/01/26 ~

    875,000       699,799  

5.875% due 11/15/24

    365,000       325,872  

7.375% due 07/01/28

    80,000       45,726  

7.750% due 07/01/26

    618,000       408,520  

DISH Network Corp.
11.750% due 11/15/27 ~

    725,000       704,015  

Frontier Communications Holdings LLC

   

5.000% due 05/01/28 ~

    475,000       412,718  

5.875% due 10/15/27 ~

    210,000       191,100  

6.000% due 01/15/30 ~

    200,000       152,332  

6.750% due 05/01/29 ~

    200,000       158,694  

8.625% due 03/15/31 ~

    150,000       147,043  

8.750% due 05/15/30 ~

    270,000       269,213  

Gen Digital, Inc.

   

5.000% due 04/15/25 ~

    200,000       196,607  

6.750% due 09/30/27 ~

    150,000       150,938  

7.125% due 09/30/30 ~

    74,000       73,697  

Getty Images, Inc.
9.750% due 03/01/27 ~

    100,000       100,015  

Gray Escrow II, Inc.
5.375% due 11/15/31 ~

    350,000       232,797  
   

Principal
Amount

   

Value

 

Gray Television, Inc.

   

5.875% due 07/15/26 ~

    $75,000       $64,955  

7.000% due 05/15/27 ~

    340,000       284,981  

iHeartCommunications, Inc.

   

5.250% due 08/15/27 ~

    191,000       156,326  

6.375% due 05/01/26

    200,000       176,687  

8.375% due 05/01/27

    350,000       254,945  

Iliad Holding SASU (France)
6.500% due 10/15/26 ~

    500,000       476,960  

Intelsat Jackson Holdings SA (Luxembourg)
6.500% due 03/15/30 ~

    715,000       657,249  

Lamar Media Corp.

   

3.625% due 01/15/31

    120,000       103,308  

4.875% due 01/15/29

    200,000       188,399  

Level 3 Financing, Inc.

   

3.400% due 03/01/27 ~

    240,000       190,042  

3.625% due 01/15/29 ~

    100,000       55,396  

3.875% due 11/15/29 ~

    200,000       144,936  

4.250% due 07/01/28 ~

    175,000       98,914  

4.625% due 09/15/27 ~

    400,000       240,860  

10.500% due 05/15/30

    119,420       114,195  

Lumen Technologies, Inc.

   

4.000% due 02/15/27 ~

    560,000       370,112  

4.500% due 01/15/29 ~

    150,000       67,312  

Match Group Holdings II LLC

   

3.625% due 10/01/31 ~

    125,000       101,863  

4.125% due 08/01/30 ~

    150,000       129,350  

4.625% due 06/01/28 ~

    135,000       125,550  

Midcontinent Communications/Midcontinent Finance Corp.
5.375% due 08/15/27 ~

    100,000       90,607  

Millennium Escrow Corp.
6.625% due 08/01/26 ~

    292,000       190,168  

Netflix, Inc.

   

3.625% due 06/15/25 ~

    110,000       106,906  

4.375% due 11/15/26

    205,000       202,878  

4.875% due 04/15/28

    478,000       476,040  

News Corp.

   

3.875% due 05/15/29 ~

    85,000       75,625  

5.125% due 02/15/32 ~

    404,000       379,352  

Nexstar Media, Inc.

   

4.750% due 11/01/28 ~

    285,000       253,804  

5.625% due 07/15/27 ~

    438,000       405,209  

Nokia OYJ (Finland)
6.625% due 05/15/39

    50,000       49,952  

Northwest Fiber LLC/Northwest Fiber Finance Sub, Inc.

   

4.750% due 04/30/27 ~

    20,000       17,106  

6.000% due 02/15/28 ~

    200,000       148,169  

Outfront Media Capital LLC/Outfront Media Capital Corp.
5.000% due 08/15/27 ~

    115,000       103,723  

Paramount Global
6.250% due 02/28/57

    292,000       218,804  

Qwest Corp.
7.250% due 09/15/25

    35,000       32,747  

Radiate Holdco LLC/Radiate Finance, Inc.
6.500% due 09/15/28 ~

    83,000       34,142  

Rakuten Group, Inc. (Japan)

   

6.250% due 04/22/31 ~

    300,000       144,537  

10.250% due 11/30/24 ~

    200,000       190,250  

Scripps Escrow II, Inc.

   

3.875% due 01/15/29 ~

    175,000       137,539  

5.375% due 01/15/31 ~

    100,000       68,878  

Scripps Escrow, Inc.
5.875% due 07/15/27 ~

    150,000       110,625  

Sirius XM Radio, Inc.

   

3.125% due 09/01/26 ~

    146,000       131,846  

4.000% due 07/15/28 ~

    625,000       537,500  

4.125% due 07/01/30 ~

    250,000       204,658  

5.000% due 08/01/27 ~

    160,000       149,968  

5.500% due 07/01/29 ~

    560,000       510,275  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

223

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Sprint Capital Corp.
8.750% due 03/15/32

    $200,000       $243,712  

Sprint LLC

   

7.125% due 06/15/24

    750,000       763,103  

7.625% due 02/15/25

    600,000       622,720  

TEGNA, Inc.

   

4.625% due 03/15/28

    385,000       337,356  

4.750% due 03/15/26 ~

    141,000       133,925  

5.000% due 09/15/29

    374,000       323,708  

Telecom Italia Capital SA (Italy)

   

6.000% due 09/30/34

    200,000       171,750  

7.200% due 07/18/36

    250,000       226,444  

Telesat Canada/Telesat LLC (Canada)
6.500% due 10/15/27 ~

    134,000       42,880  

Uber Technologies, Inc.
4.500% due 08/15/29 ~

    500,000       456,562  

Univision Communications, Inc.

   

4.500% due 05/01/29 ~

    172,000       144,680  

6.625% due 06/01/27 ~

    255,000       242,021  

7.375% due 06/30/30 ~

    506,000       478,848  

UPC Broadband Finco BV (Netherlands)
4.875% due 07/15/31 ~

    500,000       432,982  

UPC Holding BV (Netherlands)
5.500% due 01/15/28 ~

    200,000       179,317  

Videotron Ltd. (Canada)

   

3.625% due 06/15/29 ~

    175,000       149,340  

5.125% due 04/15/27 ~

    200,000       193,226  

Virgin Media Secured Finance PLC (United Kingdom)

   

4.500% due 08/15/30 ~

    200,000       172,231  

5.500% due 05/15/29 ~

    223,000       207,922  

Vmed O2 UK Financing I PLC (United Kingdom)
4.750% due 07/15/31 ~

    400,000       343,362  

Vodafone Group PLC (United Kingdom)

   

5.125% due 06/04/81

    100,000       70,176  

7.000% due 04/04/79

    600,000       597,657  

VZ Secured Financing BV (Netherlands)
5.000% due 01/15/32 ~

    350,000       285,906  

Windstream Escrow LLC/Windstream Escrow Finance Corp.
7.750% due 08/15/28 ~

    396,000       324,720  

Zayo Group Holdings, Inc.
4.000% due 03/01/27 ~

    250,000       190,225  

Ziff Davis, Inc.
4.625% due 10/15/30 ~

    215,000       185,703  

Ziggo Bond Co. BV (Netherlands)
5.125% due 02/28/30 ~

    200,000       161,054  

Ziggo BV (Netherlands)
4.875% due 01/15/30 ~

    200,000       170,706  
   

 

 

 
      31,842,495  
   

 

 

 

Consumer, Cyclical - 23.3%

 

99 Escrow Issuer, Inc.
7.500% due 01/15/26 ~

    213,000       85,264  

Adient Global Holdings Ltd.

   

7.000% due 04/15/28 ~

    63,000       64,819  

8.250% due 04/15/31 ~

    63,000       64,927  

Air Canada (Canada)
3.875% due 08/15/26 ~

    605,000       549,982  

AMC Entertainment Holdings, Inc.
7.500% due 02/15/29 ~

    165,000       114,159  

American Airlines Group, Inc.
3.750% due 03/01/25 ~

    150,000       137,787  

American Airlines, Inc.

   

7.250% due 02/15/28 ~

    200,000       194,693  

11.750% due 07/15/25 ~

    700,000       766,535  

American Airlines, Inc./AAdvantage Loyalty IP Ltd.

   

5.500% due 04/20/26 ~

    235,000       231,555  

5.750% due 04/20/29 ~

    45,000       43,214  

American Axle & Manufacturing, Inc.

   

6.250% due 03/15/26

    34,000       32,682  
   

Principal
Amount

   

Value

 

6.875% due 07/01/28

    $150,000       $135,761  

American Builders & Contractors Supply Co., Inc.
4.000% due 01/15/28 ~

    129,000       117,593  

Aramark Services, Inc.
5.000% due 04/01/25 ~

    100,000       98,509  

Asbury Automotive Group, Inc.

   

4.500% due 03/01/28

    150,000       136,706  

4.750% due 03/01/30

    218,000       195,368  

Ashton Woods USA LLC/Ashton Woods Finance Co.
6.625% due 01/15/28 ~

    250,000       226,984  

At Home Group, Inc.

   

4.875% due 07/15/28 ~

    90,000       61,087  

7.125% due 07/15/29 ~

    45,000       25,821  

Bath & Body Works, Inc.

   

6.694% due 01/15/27

    195,000       194,706  

6.750% due 07/01/36

    90,000       80,531  

6.875% due 11/01/35

    300,000       270,716  

BCPE Empire Holdings, Inc.
7.625% due 05/01/27 ~

    190,000       173,784  

Beacon Roofing Supply, Inc.
4.500% due 11/15/26 ~

    150,000       142,283  

Beazer Homes USA, Inc.
6.750% due 03/15/25

    250,000       246,916  

Bloomin’ Brands, Inc./OSI Restaurant Partners LLC
5.125% due 04/15/29 ~

    100,000       89,634  

BlueLinx Holdings, Inc.
6.000% due 11/15/29 ~

    100,000       82,685  

Boyne USA, Inc.
4.750% due 05/15/29 ~

    394,000       352,210  

Brinker International, Inc.
5.000% due 10/01/24 ~

    100,000       98,209  

Brookfield Residential Properties, Inc./Brookfield Residential US LLC (Canada)

   

4.875% due 02/15/30 ~

    65,000       49,110  

5.000% due 06/15/29 ~

    100,000       76,693  

6.250% due 09/15/27 ~

    263,000       231,526  

Caesars Entertainment, Inc.

   

6.250% due 07/01/25 ~

    900,000       900,884  

7.000% due 02/15/30 ~

    550,000       560,128  

Carnival Corp.

   

4.000% due 08/01/28 ~

    725,000       624,859  

5.750% due 03/01/27 ~

    387,000       317,888  

6.650% due 01/15/28

    200,000       152,247  

7.625% due 03/01/26 ~

    420,000       383,662  

Carnival PLC
7.875% due 06/01/27

    185,000       181,913  

Carvana Co.

   

4.875% due 09/01/29 ~

    200,000       81,923  

5.500% due 04/15/27 ~

    89,000       39,629  

5.625% due 10/01/25 ~

    165,000       114,309  

5.875% due 10/01/28 ~

    125,000       55,785  

10.250% due 05/01/30 ~

    215,000       122,598  

CD&R Smokey Buyer, Inc.
6.750% due 07/15/25 ~

    120,000       103,500  

CDI Escrow Issuer, Inc.
5.750% due 04/01/30 ~

    350,000       338,361  

CEC Entertainment LLC
6.750% due 05/01/26 ~

    88,000       83,679  

Cedar Fair LP/Canada’s Wonderland Co./Magnum Management Corp./Millennium Op

   

5.375% due 04/15/27

    80,000       76,546  

6.500% due 10/01/28

    100,000       97,136  

Churchill Downs, Inc.

   

4.750% due 01/15/28 ~

    236,000       221,226  

5.500% due 04/01/27 ~

    230,000       225,400  

Cinemark USA, Inc.
8.750% due 05/01/25 ~

    120,000       122,618  

Clarios Global LP/Clarios US Finance Co.
8.500% due 05/15/27 ~

    657,000       660,696  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

224

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Constellation Merger Sub, Inc.
8.500% due 09/15/25 ~

    $100,000       $85,212  

Cooper-Standard Automotive, Inc.

   

5.625% due 05/15/27 ~

    300,000       173,184  

13.500% due 03/31/27 ~

    435,000       455,201  

Crocs, Inc.
4.125% due 08/15/31 ~

    150,000       123,721  

Dana, Inc.

   

4.250% due 09/01/30

    100,000       80,268  

4.500% due 02/15/32

    300,000       237,123  

Dave & Buster’s, Inc.
7.625% due 11/01/25 ~

    140,000       142,800  

Dealer Tire LLC/DT Issuer LLC
8.000% due 02/01/28 ~

    250,000       224,683  

Delta Air Lines, Inc.

   

2.900% due 10/28/24

    225,000       215,496  

7.375% due 01/15/26

    90,000       93,739  

eG Global Finance PLC (United Kingdom)
8.500% due 10/30/25 ~

    200,000       187,477  

Evergreen Acqco 1 LP/TVI, Inc.
9.750% due 04/26/28 ~

    200,000       190,205  

Everi Holdings, Inc.
5.000% due 07/15/29 ~

    200,000       178,233  

Ferrellgas LP/Ferrellgas Finance Corp.

   

5.375% due 04/01/26 ~

    240,000       224,986  

5.875% due 04/01/29 ~

    240,000       205,445  

Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.
6.750% due 01/15/30 ~

    515,000       424,169  

FirstCash, Inc.

   

4.625% due 09/01/28 ~

    150,000       133,228  

5.625% due 01/01/30 ~

    175,000       161,677  

Ford Motor Co.
3.250% due 02/12/32

    565,000       444,862  

Ford Motor Credit Co. LLC

   

2.300% due 02/10/25

    220,000       204,208  

2.700% due 08/10/26

    380,000       338,675  

3.375% due 11/13/25

    700,000       657,030  

3.625% due 06/17/31

    240,000       198,080  

3.664% due 09/08/24

    225,000       216,214  

3.815% due 11/02/27

    400,000       359,056  

4.000% due 11/13/30

    200,000       170,221  

4.063% due 11/01/24

    200,000       193,338  

4.271% due 01/09/27

    200,000       186,500  

4.389% due 01/08/26

    250,000       237,555  

4.687% due 06/09/25

    350,000       336,852  

4.950% due 05/28/27

    200,000       191,060  

7.350% due 11/04/27

    250,000       258,127  

7.350% due 03/06/30

    245,000       251,983  

Forestar Group, Inc.
5.000% due 03/01/28 ~

    150,000       134,454  

Gap, Inc.

   

3.625% due 10/01/29 ~

    345,000       246,399  

3.875% due 10/01/31 ~

    145,000       100,742  

Genting New York LLC/GENNY Capital, Inc.
3.300% due 02/15/26 ~

    200,000       180,038  

Goodyear Tire & Rubber Co.

   

5.000% due 05/31/26

    480,000       464,645  

5.250% due 07/15/31

    85,000       73,513  

5.625% due 04/30/33

    282,000       244,297  

9.500% due 05/31/25

    145,000       149,162  

Group 1 Automotive, Inc.
4.000% due 08/15/28 ~

    500,000       440,850  

Hanesbrands, Inc.
9.000% due 02/15/31 ~

    195,000       199,817  

Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty Ltd.
5.750% due 01/20/26 ~

    600,000       570,372  

Hilton Domestic Operating Co., Inc.

   

3.625% due 02/15/32 ~

    50,000       42,233  

4.000% due 05/01/31 ~

    190,000       166,554  

5.375% due 05/01/25 ~

    50,000       50,031  
   

Principal
Amount

   

Value

 

Hilton Worldwide Finance LLC/Hilton Worldwide Finance Corp.
4.875% due 04/01/27

    $215,000       $212,289  

International Game Technology PLC

   

4.125% due 04/15/26 ~

    200,000       193,230  

6.500% due 02/15/25 ~

    200,000       202,298  

IRB Holding Corp.
7.000% due 06/15/25 ~

    250,000       251,005  

Jacobs Entertainment, Inc.
6.750% due 02/15/29 ~

    160,000       139,938  

JB Poindexter & Co., Inc.
7.125% due 04/15/26 ~

    119,000       111,696  

KAR Auction Services, Inc.
5.125% due 06/01/25 ~

    200,000       197,709  

KB Home

   

6.875% due 06/15/27

    75,000       76,278  

7.250% due 07/15/30

    185,000       187,865  

KFC Holding Co./Pizza Hut Holdings LLC/Taco Bell of America LLC
4.750% due 06/01/27 ~

    200,000       194,463  

Kohl’s Corp.

   

3.625% due 05/01/31

    138,000       93,269  

4.250% due 07/17/25

    58,000       54,079  

Las Vegas Sands Corp.

   

2.900% due 06/25/25

    150,000       142,625  

3.500% due 08/18/26

    306,000       285,881  

LCM Investments Holdings II LLC
4.875% due 05/01/29 ~

    400,000       335,098  

Levi Strauss & Co.
3.500% due 03/01/31 ~

    105,000       89,627  

LGI Homes, Inc.
4.000% due 07/15/29 ~

    75,000       61,012  

Lindblad Expeditions LLC
6.750% due 02/15/27 ~

    270,000       261,716  

Lithia Motors, Inc.

   

3.875% due 06/01/29 ~

    90,000       77,963  

4.375% due 01/15/31 ~

    150,000       129,398  

4.625% due 12/15/27 ~

    150,000       139,687  

Live Nation Entertainment, Inc.

   

3.750% due 01/15/28 ~

    160,000       143,600  

4.750% due 10/15/27 ~

    110,000       101,875  

5.625% due 03/15/26 ~

    81,000       78,465  

6.500% due 05/15/27 ~

    225,000       227,646  

LSF9 Atlantis Holdings LLC/Victra Finance Corp.
7.750% due 02/15/26 ~

    348,000       316,463  

Macy’s Retail Holdings LLC
4.300% due 02/15/43

    300,000       185,254  

MajorDrive Holdings IV LLC
6.375% due 06/01/29 ~

    200,000       148,352  

Marriott Ownership Resorts, Inc.

   

4.500% due 06/15/29 ~

    135,000       115,065  

4.750% due 01/15/28

    150,000       134,234  

Mattel, Inc.

   

3.750% due 04/01/29 ~

    110,000       98,942  

6.200% due 10/01/40

    134,000       121,464  

Melco Resorts Finance Ltd. (Hong Kong)
5.375% due 12/04/29 ~

    200,000       163,900  

Meritage Homes Corp.
5.125% due 06/06/27

    200,000       194,791  

MGM China Holdings Ltd. (Macau)
4.750% due 02/01/27 ~

    200,000       179,377  

MGM Resorts International
6.750% due 05/01/25

    80,000       80,703  

Michaels Cos., Inc.
7.875% due 05/01/29 ~

    115,000       80,609  

Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp.
4.875% due 05/01/29 ~

    259,000       225,454  

Mohegan Tribal Gaming Authority

   

8.000% due 02/01/26 ~

    260,000       238,154  

13.250% due 12/15/27 ~

    150,000       161,488  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

225

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Murphy Oil USA, Inc.

   

3.750% due 02/15/31 ~

    $85,000       $71,700  

4.750% due 09/15/29

    99,000       90,308  

5.625% due 05/01/27

    100,000       96,910  

NCL Corp. Ltd.

   

5.875% due 03/15/26 ~

    260,000       221,559  

5.875% due 02/15/27 ~

    456,000       425,742  

7.750% due 02/15/29 ~

    100,000       85,844  

8.375% due 02/01/28 ~

    83,000       83,359  

NCL Finance Ltd.
6.125% due 03/15/28 ~

    125,000       101,421  

New Red Finance, Inc. (Canada)

   

3.500% due 02/15/29 ~

    125,000       112,036  

4.000% due 10/15/30 ~

    758,000       650,667  

5.750% due 04/15/25 ~

    50,000       50,230  

Newell Brands, Inc.

   

4.700% due 04/01/26

    535,000       515,507  

4.875% due 06/01/25

    165,000       161,013  

5.875% due 04/01/36

    130,000       115,306  

6.375% due 09/15/27

    168,000       169,730  

6.625% due 09/15/29

    90,000       90,873  

Nissan Motor Acceptance Co. LLC

   

1.125% due 09/16/24 ~

    100,000       93,529  

1.850% due 09/16/26 ~

    126,000       109,133  

2.000% due 03/09/26 ~

    115,000       101,983  

2.750% due 03/09/28 ~

    100,000       84,646  

Nissan Motor Co. Ltd. (Japan)

   

4.345% due 09/17/27 ~

    200,000       188,793  

4.810% due 09/17/30 ~

    200,000       181,235  

NMG Holding Co., Inc./Neiman Marcus Group LLC
7.125% due 04/01/26 ~

    125,000       117,471  

Nordstrom, Inc.

   

4.375% due 04/01/30

    410,000       317,914  

6.950% due 03/15/28

    172,000       161,510  

Odeon Finco PLC (United Kingdom)
12.750% due 11/01/27 ~

    100,000       92,091  

Park River Holdings, Inc.
5.625% due 02/01/29 ~

    100,000       68,295  

Patrick Industries, Inc.
7.500% due 10/15/27 ~

    100,000       98,406  

Penn Entertainment, Inc.

   

4.125% due 07/01/29 ~

    200,000       166,971  

5.625% due 01/15/27 ~

    100,000       94,014  

Penske Automotive Group, Inc.
3.500% due 09/01/25

    139,000       130,857  

Premier Entertainment Sub LLC/Premier Entertainment Finance Corp.
5.625% due 09/01/29 ~

    438,000       323,846  

QVC, Inc.

   

4.450% due 02/15/25

    335,000       198,340  

4.750% due 02/15/27

    175,000       73,732  

4.850% due 04/01/24

    100,000       80,127  

Resideo Funding, Inc.
4.000% due 09/01/29 ~

    100,000       83,241  

Resorts World Las Vegas LLC/RWLV Capital, Inc.
4.625% due 04/16/29 ~

    400,000       309,245  

Ritchie Bros Holdings, Inc. (Canada)

   

6.750% due 03/15/28 ~

    81,000       83,517  

7.750% due 03/15/31 ~

    87,000       91,286  

Rite Aid Corp.
8.000% due 11/15/26 ~

    248,000       118,714  

Royal Caribbean Cruises Ltd.

   

5.500% due 04/01/28 ~

    450,000       397,800  

7.250% due 01/15/30 ~

    230,000       231,645  

11.500% due 06/01/25 ~

    334,000       356,441  

11.625% due 08/15/27 ~

    167,000       179,525  

Sands China Ltd. (Macau)

   

2.800% due 03/08/27

    200,000       171,747  

3.350% due 03/08/29

    200,000       166,297  

3.750% due 08/08/31

    200,000       160,819  
   

Principal
Amount

   

Value

 

4.875% due 06/18/30

    $130,000       $115,294  

5.625% due 08/08/25

    655,000       638,979  

5.900% due 08/08/28

    200,000       190,024  

Scientific Games International, Inc.

   

7.000% due 05/15/28 ~

    224,000       221,978  

7.250% due 11/15/29 ~

    156,000       156,443  

Scotts Miracle-Gro Co.

   

4.500% due 10/15/29

    200,000       172,186  

5.250% due 12/15/26

    100,000       95,607  

SeaWorld Parks & Entertainment, Inc.
5.250% due 08/15/29 ~

    112,000       101,218  

Sonic Automotive, Inc.
4.875% due 11/15/31 ~

    390,000       314,870  

Speedway Motorsports LLC/Speedway Funding II, Inc.
4.875% due 11/01/27 ~

    250,000       229,736  

Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd.
8.000% due 09/20/25 ~

    410,000       412,082  

SRS Distribution, Inc.

   

4.625% due 07/01/28 ~

    81,000       72,047  

6.000% due 12/01/29 ~

    310,000       256,410  

6.125% due 07/01/29 ~

    133,000       112,385  

Staples, Inc.

   

7.500% due 04/15/26 ~

    750,000       657,825  

10.750% due 04/15/27 ~

    97,000       70,454  

Station Casinos LLC

   

4.500% due 02/15/28 ~

    190,000       171,698  

4.625% due 12/01/31 ~

    86,000       72,710  

Suburban Propane Partners LP/Suburban Energy Finance Corp.

   

5.000% due 06/01/31 ~

    283,000       247,618  

5.875% due 03/01/27

    300,000       291,408  

Thor Industries, Inc.
4.000% due 10/15/29 ~

    110,000       91,076  

Titan International, Inc.
7.000% due 04/30/28

    200,000       180,386  

Travel & Leisure Co.
5.650% due 04/01/24

    300,000       299,346  

TRI Pointe Group, Inc./TRI Pointe Homes, Inc.
5.875% due 06/15/24

    200,000       199,191  

Tri Pointe Homes, Inc.
5.250% due 06/01/27

    100,000       95,141  

Under Armour, Inc.
3.250% due 06/15/26

    300,000       277,476  

United Airlines Holdings, Inc.
4.875% due 01/15/25

    150,000       146,431  

United Airlines, Inc.
4.375% due 04/15/26 ~

    96,000       91,956  

Universal Entertainment Corp. (Japan)
8.500% due 12/11/24 ~

    250,000       235,551  

US Airways Pass-Through Trust Class A
3.950% due 05/15/27

    88,766       83,079  

Vail Resorts, Inc.
6.250% due 05/15/25 ~

    235,000       235,766  

Victoria’s Secret & Co.
4.625% due 07/15/29 ~

    188,000       152,538  

Viking Cruises Ltd.

   

5.875% due 09/15/27 ~

    27,000       23,277  

7.000% due 02/15/29 ~

    190,000       163,163  

Viking Ocean Cruises Ship VII Ltd.
5.625% due 02/15/29 ~

    300,000       257,813  

Wesco Aircraft Holdings, Inc.

   

8.500% due 11/15/24 ~

    222,000       16,650  

13.125% due 11/15/27 ~

    262,000       23,580  

Wheel Pros, Inc.
6.500% due 05/15/29 ~

    100,000       45,500  

White Cap Buyer LLC
6.875% due 10/15/28 ~

    170,000       147,621  

William Carter Co.
5.625% due 03/15/27 ~

    214,000       208,210  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

226

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Winnebago Industries, Inc.
6.250% due 07/15/28 ~

    $200,000       $191,560  

WMG Acquisition Corp.

   

3.000% due 02/15/31 ~

    221,000       184,970  

3.875% due 07/15/30 ~

    200,000       175,803  

Wyndham Hotels & Resorts, Inc.
4.375% due 08/15/28 ~

    106,000       97,751  

Wynn Macau Ltd. (Macau)

   

5.125% due 12/15/29 ~

    390,000       319,880  

5.625% due 08/26/28 ~

    300,000       255,486  

Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.
7.125% due 02/15/31 ~

    175,000       177,672  

Yum! Brands, Inc.

   

5.350% due 11/01/43

    100,000       85,067  

6.875% due 11/15/37

    100,000       106,191  
   

 

 

 
      45,358,591  
   

 

 

 

Consumer, Non-Cyclical - 14.7%

 

Acadia Healthcare Co., Inc.
5.000% due 04/15/29 ~

    225,000       211,702  

AdaptHealth LLC

   

4.625% due 08/01/29 ~

    190,000       158,391  

5.125% due 03/01/30 ~

    177,000       150,330  

ADT Security Corp.

   

4.125% due 08/01/29 ~

    465,000       415,257  

4.875% due 07/15/32 ~

    200,000       176,669  

Adtalem Global Education, Inc.
5.500% due 03/01/28 ~

    250,000       237,472  

AHP Health Partners, Inc.
5.750% due 07/15/29 ~

    150,000       126,389  

Air Methods Corp.
8.000% due 05/15/25 ~

    330,000       21,531  

Akumin Escrow, Inc.
7.500% due 08/01/28 ~

    100,000       70,096  

Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC

   

3.250% due 03/15/26 ~

    203,000       191,220  

6.500% due 02/15/28 ~

    225,000       225,800  

7.500% due 03/15/26 ~

    125,000       128,370  

Allied Universal Holdco LLC/Allied Universal Finance Corp.
9.750% due 07/15/27 ~

    297,000       264,998  

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL
4.625% due 06/01/28 ~

    266,000       225,354  

AMN Healthcare, Inc.

   

4.000% due 04/15/29 ~

    150,000       132,916  

4.625% due 10/01/27 ~

    217,000       201,412  

APi Group DE, Inc.
4.125% due 07/15/29 ~

    150,000       128,976  

Aptim Corp.
7.750% due 06/15/25 ~

    150,000       105,750  

APX Group, Inc.
6.750% due 02/15/27 ~

    200,000       199,221  

Arrow Bidco LLC
9.500% due 03/15/24 ~

    78,000       78,090  

ASGN, Inc.
4.625% due 05/15/28 ~

    79,000       73,804  

B&G Foods, Inc.
5.250% due 04/01/25

    399,000       371,996  

Bausch Health Cos., Inc.

   

4.875% due 06/01/28 ~

    410,000       242,269  

5.500% due 11/01/25 ~

    346,000       284,865  

5.750% due 08/15/27 ~

    140,000       87,338  

6.125% due 02/01/27 ~

    185,000       119,921  

7.000% due 01/15/28 ~

    388,000       156,636  

7.250% due 05/30/29 ~

    98,000       37,621  

9.000% due 12/15/25 ~

    50,000       39,861  

11.000% due 09/30/28 ~

    539,000       399,313  
   

Principal
Amount

   

Value

 

BC Ltd. (Canada)
9.000% due 01/30/28 ~

    $106,000       $105,205  

Block, Inc.
3.500% due 06/01/31

    483,000       397,130  

Brink’s Co.

   

4.625% due 10/15/27 ~

    197,000       185,869  

5.500% due 07/15/25 ~

    150,000       148,754  

C&S Group Enterprises LLC
5.000% due 12/15/28 ~

    300,000       231,576  

Cano Health LLC
6.250% due 10/01/28 ~

    125,000       69,063  

Central Garden & Pet Co.
4.125% due 10/15/30

    335,000       296,307  

Charles River Laboratories International, Inc.

   

3.750% due 03/15/29 ~

    133,000       118,191  

4.000% due 03/15/31 ~

    200,000       175,179  

4.250% due 05/01/28 ~

    192,000       179,923  

Chobani LLC/Chobani Finance Corp., Inc.
4.625% due 11/15/28 ~

    350,000       319,335  

CHS/Community Health Systems, Inc.

   

4.750% due 02/15/31 ~

    115,000       85,020  

5.250% due 05/15/30 ~

    695,000       545,818  

5.625% due 03/15/27 ~

    105,000       92,289  

6.000% due 01/15/29 ~

    300,000       254,067  

6.125% due 04/01/30 ~

    194,000       117,085  

CoreCivic, Inc.

   

4.750% due 10/15/27

    60,000       52,973  

8.250% due 04/15/26

    135,000       136,203  

Darling Ingredients, Inc.

   

5.250% due 04/15/27 ~

    99,000       96,616  

6.000% due 06/15/30 ~

    145,000       144,637  

DaVita, Inc.
3.750% due 02/15/31 ~

    454,000       358,533  

Deluxe Corp.
8.000% due 06/01/29 ~

    70,000       51,255  

Edgewell Personal Care Co.

   

4.125% due 04/01/29 ~

    125,000       109,655  

5.500% due 06/01/28 ~

    100,000       95,941  

Elanco Animal Health, Inc.
6.650% due 08/28/28

    130,000       123,106  

Embecta Corp.

   

5.000% due 02/15/30 ~

    80,000       68,903  

6.750% due 02/15/30 ~

    100,000       91,122  

Encompass Health Corp.
5.750% due 09/15/25

    100,000       99,331  

Envision Healthcare Corp.
8.750% due 10/15/26 ~

    150,000       28,896  

FAGE International SA/FAGE USA Dairy Industry, Inc. (Luxembourg)
5.625% due 08/15/26 ~

    100,000       93,482  

Garda World Security Corp. (Canada)

   

4.625% due 02/15/27 ~

    400,000       359,547  

6.000% due 06/01/29 ~

    150,000       119,443  

7.750% due 02/15/28 ~

    80,000       78,920  

9.500% due 11/01/27 ~

    78,000       74,082  

Gartner, Inc.

   

3.750% due 10/01/30 ~

    397,000       356,712  

4.500% due 07/01/28 ~

    169,000       160,578  

GEO Group, Inc.
10.500% due 06/30/28

    163,000       164,889  

Graham Holdings Co.
5.750% due 06/01/26 ~

    100,000       98,105  

Grifols Escrow Issuer SA (Spain)
4.750% due 10/15/28 ~

    200,000       164,202  

H-Food Holdings LLC/Hearthside Finance Co., Inc.
8.500% due 06/01/26 ~

    400,000       247,940  

HealthEquity, Inc.
4.500% due 10/01/29 ~

    395,000       351,439  

Hologic, Inc.
4.625% due 02/01/28 ~

    191,000       185,681  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

227

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Ingles Markets, Inc.
4.000% due 06/15/31 ~

    $225,000       $195,750  

Korn Ferry
4.625% due 12/15/27 ~

    150,000       141,887  

Kronos Acquisition Holdings, Inc./KIK Custom Products, Inc. (Canada)
5.000% due 12/31/26 ~

    255,000       233,487  

Land O’Lakes Capital Trust I
7.450% due 03/15/28 ~

    43,000       41,065  

Lannett Co., Inc.
7.750% due 04/15/26 ~

    50,000       8,313  

Legacy LifePoint Health LLC

   

4.375% due 02/15/27 ~

    230,000       188,332  

6.750% due 04/15/25 ~

    180,000       171,000  

Mallinckrodt International Finance SA/Mallinckrodt CB LLC
11.500% due 12/15/28 ~

    250,000       204,875  

Medline Borrower LP

   

3.875% due 04/01/29 ~

    255,000       221,508  

5.250% due 10/01/29 ~

    388,000       337,004  

Metis Merger Sub LLC
6.500% due 05/15/29 ~

    100,000       83,382  

ModivCare Escrow Issuer, Inc.
5.000% due 10/01/29 ~

    405,000       344,293  

ModivCare, Inc.
5.875% due 11/15/25 ~

    72,000       69,123  

Molina Healthcare, Inc.

   

3.875% due 05/15/32 ~

    345,000       290,249  

4.375% due 06/15/28 ~

    150,000       139,680  

MPH Acquisition Holdings LLC
5.500% due 09/01/28 ~

    290,000       230,826  

Nathan’s Famous, Inc.
6.625% due 11/01/25 ~

    13,000       12,966  

Neptune Bidco US, Inc.
9.290% due 04/15/29 ~

    625,000       580,062  

NESCO Holdings II, Inc.
5.500% due 04/15/29 ~

    300,000       271,708  

Option Care Health, Inc.
4.375% due 10/31/29 ~

    63,000       55,706  

Organon & Co./Organon Foreign Debt Co.-Issuer BV

   

4.125% due 04/30/28 ~

    504,000       461,165  

5.125% due 04/30/31 ~

    500,000       444,289  

Oriflame Investment Holding PLC (Switzerland)
5.125% due 05/04/26 ~

    200,000       122,000  

Owens & Minor, Inc.

   

4.500% due 03/31/29 ~

    80,000       62,508  

6.625% due 04/01/30 ~

    139,000       119,491  

PECF USS Intermediate Holding III Corp.
8.000% due 11/15/29 ~

    206,000       137,051  

Performance Food Group, Inc.
4.250% due 08/01/29 ~

    158,000       142,051  

Perrigo Finance Unlimited Co.

   

3.900% due 12/15/24

    200,000       196,087  

4.900% due 12/15/44

    200,000       141,516  

Post Holdings, Inc.

   

4.500% due 09/15/31 ~

    500,000       440,500  

5.750% due 03/01/27 ~

    322,000       314,613  

Prime Security Services Borrower LLC/Prime Finance, Inc.

   

3.375% due 08/31/27 ~

    410,000       367,959  

5.250% due 04/15/24 ~

    197,000       195,050  

5.750% due 04/15/26 ~

    246,000       244,395  

6.250% due 01/15/28 ~

    50,000       46,797  

Primo Water Holdings, Inc. (Canada)
4.375% due 04/30/29 ~

    188,000       164,272  

Radiology Partners, Inc.
9.250% due 02/01/28 ~

    155,000       85,854  

RCN Corp.
11.625% due 04/15/23 * Y W

    9,000       830  

RegionalCare Hospital Partners Holdings, Inc./LifePoint Health, Inc.
9.750% due 12/01/26 ~

    50,000       40,489  
   

Principal
Amount

   

Value

 

RP Escrow Issuer LLC
5.250% due 12/15/25 ~

    $300,000       $227,604  

Sabre GLBL, Inc.

   

7.375% due 09/01/25 ~

    518,000       463,351  

9.250% due 04/15/25 ~

    50,000       47,148  

11.250% due 12/15/27 ~

    105,000       97,909  

Safeway, Inc.
7.250% due 02/01/31

    150,000       150,566  

SEG Holding LLC/SEG Finance Corp.
5.625% due 10/15/28 ~

    200,000       190,098  

Select Medical Corp.
6.250% due 08/15/26 ~

    424,000       411,706  

Service Corp. International

   

3.375% due 08/15/30

    426,000       363,548  

5.125% due 06/01/29

    206,000       199,241  

Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc.
4.625% due 11/01/26 ~

    300,000       282,358  

Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons Feed
4.625% due 03/01/29 ~

    245,000       199,408  

Sotheby’s
7.375% due 10/15/27 ~

    200,000       189,400  

Sotheby’s/Bidfair Holdings, Inc.
5.875% due 06/01/29 ~

    150,000       124,581  

Spectrum Brands, Inc.

   

5.000% due 10/01/29 ~

    86,000       74,746  

5.750% due 07/15/25

    200,000       197,696  

Surgery Center Holdings, Inc.
10.000% due 04/15/27 ~

    100,000       102,059  

Team Health Holdings, Inc.
6.375% due 02/01/25 ~

    200,000       120,610  

Teleflex, Inc.
4.250% due 06/01/28 ~

    95,000       90,454  

Tenet Healthcare Corp.

   

4.375% due 01/15/30

    536,000       481,542  

4.625% due 09/01/24

    87,000       85,555  

4.875% due 01/01/26

    545,000       534,893  

5.125% due 11/01/27

    276,000       265,236  

6.125% due 10/01/28

    655,000       628,371  

6.250% due 02/01/27

    530,000       521,785  

Toledo Hospital
5.325% due 11/15/28

    164,000       136,828  

TriNet Group, Inc.
3.500% due 03/01/29 ~

    115,000       98,474  

Turning Point Brands, Inc.
5.625% due 02/15/26 ~

    100,000       90,668  

United Natural Foods, Inc.
6.750% due 10/15/28 ~

    315,000       293,048  

United Rentals North America, Inc.

   

3.875% due 11/15/27

    175,000       164,281  

4.875% due 01/15/28

    115,000       110,089  

5.250% due 01/15/30

    142,000       136,813  

5.500% due 05/15/27

    130,000       128,896  

US Acute Care Solutions LLC
6.375% due 03/01/26 ~

    294,000       262,091  

US Foods, Inc.
6.250% due 04/15/25 ~

    169,000       170,697  

Verscend Escrow Corp.
9.750% due 08/15/26 ~

    325,000       325,310  

WASH Multifamily Acquisition, Inc.
5.750% due 04/15/26 ~

    255,000       241,577  

Williams Scotsman International, Inc.

   

4.625% due 08/15/28 ~

    100,000       91,089  

6.125% due 06/15/25 ~

    105,000       104,450  

ZipRecruiter, Inc.
5.000% due 01/15/30 ~

    100,000       85,625  
   

 

 

 
      28,534,504  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

228

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Diversified - 0.1%

 

Stena AB (Sweden)
7.000% due 02/01/24 ~

    $100,000       $99,618  
   

 

 

 

Energy - 11.1%

 

Aethon United BR LP/Aethon United Finance Corp.
8.250% due 02/15/26 ~

    340,000       333,953  

Antero Midstream Partners LP/Antero Midstream Finance Corp.

   

5.375% due 06/15/29 ~

    135,000       127,212  

5.750% due 03/01/27 ~

    200,000       195,660  

5.750% due 01/15/28 ~

    197,000       189,373  

Antero Resources Corp.
7.625% due 02/01/29 ~

    74,000       75,738  

Apache Corp.

   

4.250% due 01/15/30

    102,000       93,173  

5.100% due 09/01/40

    362,000       307,347  

Ascent Resources Utica Holdings LLC/ARU Finance Corp.

   

7.000% due 11/01/26 ~

    80,000       77,406  

8.250% due 12/31/28 ~

    165,000       159,793  

Athabasca Oil Corp. (Canada)
9.750% due 11/01/26 ~

    211,000       220,748  

Baytex Energy Corp. (Canada)
8.750% due 04/01/27 ~

    185,000       189,613  

Blue Racer Midstream LLC/Blue Racer Finance Corp.

   

6.625% due 07/15/26 ~

    50,000       48,564  

7.625% due 12/15/25 ~

    245,000       242,770  

Buckeye Partners LP

   

3.950% due 12/01/26

    175,000       158,559  

4.125% due 03/01/25 ~

    127,000       120,293  

4.500% due 03/01/28 ~

    105,000       94,903  

5.850% due 11/15/43

    250,000       189,129  

Calumet Specialty Products Partners LP/Calumet Finance Corp.
9.250% due 07/15/24 ~

    162,000       162,960  

CGG SA (France)
8.750% due 04/01/27 ~

    300,000       250,482  

Chesapeake Energy Corp.

   

5.875% due 02/01/29 ~

    185,000       176,319  

6.750% due 04/15/29 ~

    300,000       298,117  

Chord Energy Corp.
6.375% due 06/01/26 ~

    150,000       148,753  

Civitas Resources, Inc.
5.000% due 10/15/26 ~

    60,000       56,475  

CNX Midstream Partners LP
4.750% due 04/15/30 ~

    40,000       34,452  

CNX Resources Corp.

   

6.000% due 01/15/29 ~

    250,000       234,050  

7.250% due 03/14/27 ~

    23,000       22,910  

Comstock Resources, Inc.
6.750% due 03/01/29 ~

    85,000       77,855  

Crescent Energy Finance LLC

   

7.250% due 05/01/26 ~

    235,000       221,116  

9.250% due 02/15/28 ~

    115,000       110,372  

Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp.

   

5.625% due 05/01/27 ~

    140,000       135,047  

5.750% due 04/01/25

    85,000       83,113  

6.000% due 02/01/29 ~

    105,000       100,091  

7.375% due 02/01/31 ~

    115,000       115,111  

8.000% due 04/01/29 ~

    150,000       153,135  

CrownRock LP/CrownRock Finance, Inc.
5.625% due 10/15/25 ~

    94,000       92,242  

CSI Compressco LP/CSI Compressco Finance, Inc.
7.500% due 04/01/25 ~

    200,000       190,752  

CVR Energy, Inc.
5.750% due 02/15/28 ~

    125,000       114,846  

DCP Midstream Operating LP
5.850% due 05/21/43 ~

    100,000       97,830  
   

Principal
Amount

   

Value

 

DT Midstream, Inc.

   

4.125% due 06/15/29 ~

    $95,000       $83,396  

4.375% due 06/15/31 ~

    200,000       174,516  

Earthstone Energy Holdings LLC
8.000% due 04/15/27 ~

    190,000       184,549  

Encino Acquisition Partners Holdings LLC
8.500% due 05/01/28 ~

    325,000       284,682  

Energy Ventures Gom LLC/EnVen Finance Corp.
11.750% due 04/15/26 ~

    85,000       88,684  

EnLink Midstream LLC

   

5.625% due 01/15/28 ~

    75,000       73,571  

6.500% due 09/01/30 ~

    245,000       248,013  

EnLink Midstream Partners LP

   

4.150% due 06/01/25

    120,000       116,510  

5.450% due 06/01/47

    50,000       39,925  

EnQuest PLC (United Kingdom)
11.625% due 11/01/27 ~

    200,000       185,433  

Enviva Partners LP/Enviva Partners Finance Corp.
6.500% due 01/15/26 ~

    260,000       236,869  

EQM Midstream Partners LP

   

4.000% due 08/01/24

    43,000       41,402  

4.750% due 01/15/31 ~

    108,000       89,790  

6.000% due 07/01/25 ~

    221,000       218,750  

7.500% due 06/01/27 ~

    400,000       401,988  

7.500% due 06/01/30 ~

    457,000       443,260  

FTAI Infra Escrow Holdings LLC
10.500% due 06/01/27 ~

    200,000       197,881  

Genesis Energy LP/Genesis Energy Finance Corp.
8.875% due 04/15/30

    150,000       152,010  

Global Partners LP/GLP Finance Corp.

   

6.875% due 01/15/29

    100,000       93,065  

7.000% due 08/01/27

    150,000       144,118  

Gulfport Energy Corp.
8.000% due 05/17/26 ~

    200,000       198,240  

Harbour Energy PLC (United Kingdom)
5.500% due 10/15/26 ~

    200,000       175,262  

Hess Midstream Operations LP

   

4.250% due 02/15/30 ~

    230,000       205,688  

5.625% due 02/15/26 ~

    200,000       198,177  

Hilcorp Energy I LP/Hilcorp Finance Co.
6.000% due 04/15/30 ~

    50,000       46,170  

Holly Energy Partners LP/Holly Energy Finance Corp.

   

5.000% due 02/01/28 ~

    59,000       55,157  

6.375% due 04/15/27 ~

    35,000       34,649  

Howard Midstream Energy Partners LLC
6.750% due 01/15/27 ~

    100,000       94,398  

Ithaca Energy North Sea PLC (United Kingdom)
9.000% due 07/15/26 ~

    200,000       190,896  

Kinetik Holdings LP
5.875% due 06/15/30 ~

    290,000       279,560  

Magnolia Oil & Gas Operating LLC/Magnolia Oil & Gas Finance Corp.
6.000% due 08/01/26 ~

    330,000       321,275  

Martin Midstream Partners LP/Martin Midstream Finance Corp.
11.500% due 02/15/28 ~

    275,000       263,596  

Matador Resources Co.
5.875% due 09/15/26

    330,000       326,000  

Moss Creek Resources Holdings, Inc.

   

7.500% due 01/15/26 ~

    50,000       46,423  

10.500% due 05/15/27 ~

    100,000       95,208  

Murphy Oil Corp.

   

5.750% due 08/15/25

    43,000       42,622  

5.875% due 12/01/27

    117,000       114,099  

6.375% due 07/15/28

    323,000       318,565  

Nabors Industries Ltd.
7.250% due 01/15/26 ~

    363,000       346,569  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

229

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Nabors Industries, Inc.

 

5.750% due 02/01/25

    $85,000       $82,444  

7.375% due 05/15/27 ~

    271,000       265,661  

Neptune Energy Bondco PLC (United Kingdom)
6.625% due 05/15/25 ~

    250,000       242,591  

New Fortress Energy, Inc.

   

6.500% due 09/30/26 ~

    300,000       276,274  

6.750% due 09/15/25 ~

    338,000       325,683  

Northriver Midstream Finance LP (Canada)
5.625% due 02/15/26 ~

    250,000       234,899  

NuStar Logistics LP
6.000% due 06/01/26

    171,000       167,832  

Occidental Petroleum Corp.

   

3.500% due 08/15/29

    386,000       350,310  

4.400% due 04/15/46

    2,175,000       1,727,026  

6.950% due 07/01/24

    71,000       71,958  

Oceaneering International, Inc.

   

4.650% due 11/15/24

    200,000       196,000  

6.000% due 02/01/28

    100,000       94,081  

Parkland Corp. (Canada)

   

4.500% due 10/01/29 ~

    140,000       124,568  

5.875% due 07/15/27 ~

    132,000       128,220  

Patterson-UTI Energy, Inc.
3.950% due 02/01/28

    250,000       222,246  

PDC Energy, Inc.
6.125% due 09/15/24

    100,000       99,700  

Precision Drilling Corp. (Canada)

   

6.875% due 01/15/29 ~

    125,000       113,550  

7.125% due 01/15/26 ~

    200,000       195,512  

Puma International Financing SA (Singapore)
5.000% due 01/24/26 ~

    200,000       178,343  

Range Resources Corp.
4.750% due 02/15/30 ~

    29,000       26,472  

Rockies Express Pipeline LLC
3.600% due 05/15/25 ~

    250,000       234,053  

SM Energy Co.

   

5.625% due 06/01/25

    113,000       109,689  

6.625% due 01/15/27

    100,000       96,163  

6.750% due 09/15/26

    60,000       58,895  

Southwestern Energy Co.

   

5.375% due 03/15/30

    50,000       47,066  

5.700% due 01/23/25

    14,000       14,021  

8.375% due 09/15/28

    150,000       157,840  

Summit Midstream Holdings LLC/Summit Midstream Finance Corp.
5.750% due 04/15/25

    140,000       116,737  

Sunnova Energy Corp.
5.875% due 09/01/26 ~

    110,000       93,361  

Sunoco LP/Sunoco Finance Corp.
6.000% due 04/15/27

    359,000       354,870  

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.

   

6.000% due 12/31/30 ~

    215,000       192,426  

6.000% due 09/01/31 ~

    200,000       177,111  

7.500% due 10/01/25 ~

    300,000       300,165  

Tap Rock Resources LLC
7.000% due 10/01/26 ~

    260,000       228,012  

TerraForm Power Operating LLC
4.750% due 01/15/30 ~

    177,000       158,993  

TransMontaigne Partners LP/TLP Finance Corp.
6.125% due 02/15/26

    50,000       43,093  

Transocean, Inc.
9.350% due 12/15/41

    490,000       381,941  

Venture Global Calcasieu Pass LLC

   

4.125% due 08/15/31 ~

    44,000       38,702  

6.250% due 01/15/30 ~

    243,000       245,061  

Vital Energy, Inc.

   

9.500% due 01/15/25

    180,000       181,433  

10.125% due 01/15/28

    125,000       120,149  

W&T Offshore, Inc.
11.750% due 02/01/26 ~

    150,000       147,116  
   

Principal
Amount

   

Value

 

Weatherford International Ltd.
11.000% due 12/01/24 ~

    $43,000       $44,164  

Western Midstream Operating LP

   

4.300% due 02/01/30

    50,000       45,563  

4.650% due 07/01/26

    75,000       72,563  

5.500% due 08/15/48

    354,000       305,366  

5.500% due 02/01/50

    50,000       42,500  
   

 

 

 
      21,681,651  
   

 

 

 

Financial - 10.0%

 

Acrisure LLC/Acrisure Finance, Inc.

   

4.250% due 02/15/29 ~

    340,000       290,314  

7.000% due 11/15/25 ~

    275,000       258,004  

Advisor Group Holdings, Inc.
10.750% due 08/01/27 ~

    100,000       101,590  

AG Issuer LLC
6.250% due 03/01/28 ~

    70,000       63,127  

AG TTMT Escrow Issuer LLC
8.625% due 09/30/27 ~

    120,000       120,900  

Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer

   

4.250% due 10/15/27 ~

    220,000       197,310  

5.875% due 11/01/29 ~

    200,000       169,015  

6.750% due 10/15/27 ~

    350,000       324,957  

6.750% due 04/15/28 ~

    80,000       79,182  

Ally Financial, Inc.

   

5.750% due 11/20/25

    300,000       282,470  

6.700% due 02/14/33

    150,000       133,450  

AmWINS Group, Inc.
4.875% due 06/30/29 ~

    85,000       75,337  

Apollo Commercial Real Estate Finance, Inc.
4.625% due 06/15/29 ~

    150,000       105,671  

Aretec Escrow Issuer, Inc.
7.500% due 04/01/29 ~

    300,000       245,646  

Assurant, Inc.
7.000% due 03/27/48

    200,000       187,786  

AssuredPartners, Inc.
7.000% due 08/15/25 ~

    64,000       62,333  

Blackstone Mortgage Trust, Inc.
3.750% due 01/15/27 ~

    250,000       196,514  

Brightsphere Investment Group, Inc.
4.800% due 07/27/26

    100,000       93,500  

Brookfield Property REIT, Inc./BPR Cumulus LLC/BPR Nimbus LLC/GGSI Sellco LLC

   

4.500% due 04/01/27 ~

    150,000       120,585  

5.750% due 05/15/26 ~

    300,000       268,665  

Burford Capital Global Finance LLC

   

6.250% due 04/15/28 ~

    250,000       215,763  

6.875% due 04/15/30 ~

    200,000       172,358  

Coinbase Global, Inc.
3.625% due 10/01/31 ~

    85,000       47,692  

Credit Acceptance Corp.
6.625% due 03/15/26

    200,000       186,762  

CTR Partnership LP/CareTrust Capital Corp.
3.875% due 06/30/28 ~

    100,000       85,610  

Cushman & Wakefield US Borrower LLC
6.750% due 05/15/28 ~

    200,000       179,235  

Enstar Finance LLC
5.500% due 01/15/42

    250,000       180,776  

First Republic Bank
4.625% due 02/13/47

    210,000       115,762  

Freedom Mortgage Corp.

   

6.625% due 01/15/27 ~

    200,000       154,095  

7.625% due 05/01/26 ~

    190,000       152,880  

Genworth Holdings, Inc.
6.500% due 06/15/34

    100,000       86,972  

Global Net Lease, Inc./Global Net Lease Operating Partnership LP
3.750% due 12/15/27 ~

    250,000       198,066  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

230

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

goeasy Ltd. (Canada)

   

4.375% due 05/01/26 ~

    $75,000       $65,699  

5.375% due 12/01/24 ~

    82,000       77,433  

GTCR AP Finance, Inc.
8.000% due 05/15/27 ~

    50,000       47,776  

Hightower Holding LLC
6.750% due 04/15/29 ~

    83,000       70,721  

HUB International Ltd.
7.000% due 05/01/26 ~

    645,000       634,537  

Hunt Cos., Inc.
5.250% due 04/15/29 ~

    200,000       156,561  

Icahn Enterprises LP/Icahn Enterprises Finance Corp.

   

4.375% due 02/01/29

    145,000       124,899  

5.250% due 05/15/27

    600,000       563,712  

6.250% due 05/15/26

    405,000       398,925  

6.375% due 12/15/25

    50,000       49,163  

Intesa Sanpaolo SpA (Italy)
5.017% due 06/26/24 ~

    700,000       672,778  

Iron Mountain Information Management Services, Inc.
5.000% due 07/15/32 ~

    150,000       128,952  

Iron Mountain, Inc.

   

4.875% due 09/15/27 ~

    425,000       402,265  

5.000% due 07/15/28 ~

    65,000       60,555  

5.250% due 07/15/30 ~

    125,000       112,828  

Jane Street Group/JSG Finance, Inc.
4.500% due 11/15/29 ~

    350,000       313,761  

Jefferson Capital Holdings LLC
6.000% due 08/15/26 ~

    75,000       63,724  

Jones Deslauriers Insurance Management, Inc. (Canada)
8.500% due 03/15/30 ~

    83,000       86,112  

Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp.

   

4.750% due 06/15/29 ~

    225,000       162,881  

5.250% due 10/01/25 ~

    250,000       220,212  

LD Holdings Group LLC
6.500% due 11/01/25 ~

    96,000       60,601  

Liberty Mutual Group, Inc.
4.300% due 02/01/61 ~

    100,000       59,569  

LPL Holdings, Inc.

   

4.375% due 05/15/31 ~

    250,000       221,300  

4.625% due 11/15/27 ~

    150,000       141,885  

Midcap Financial Issuer Trust
5.625% due 01/15/30 ~

    250,000       197,814  

MPT Operating Partnership LP/MPT Finance Corp.

   

3.500% due 03/15/31

    190,000       128,079  

5.000% due 10/15/27

    320,000       263,554  

5.250% due 08/01/26

    500,000       450,000  

Nationstar Mortgage Holdings, Inc.
5.125% due 12/15/30 ~

    105,000       80,794  

Navient Corp.

   

4.875% due 03/15/28

    100,000       84,225  

5.000% due 03/15/27

    390,000       344,015  

5.625% due 08/01/33

    150,000       111,469  

6.125% due 03/25/24

    100,000       98,759  

6.750% due 06/25/25

    335,000       325,914  

6.750% due 06/15/26

    100,000       97,623  

NFP Corp.

   

6.875% due 08/15/28 ~

    70,000       60,135  

7.500% due 10/01/30 ~

    133,000       128,649  

Office Properties Income Trust REIT
4.250% due 05/15/24

    100,000       93,279  

Ohio National Financial Services, Inc.
6.800% due 01/24/30 ~

    400,000       380,976  

OneMain Finance Corp.

   

3.500% due 01/15/27

    355,000       298,343  

4.000% due 09/15/30

    160,000       120,144  

6.625% due 01/15/28

    216,000       198,245  

6.875% due 03/15/25

    238,000       230,860  

7.125% due 03/15/26

    210,000       202,083  

Oxford Finance LLC/Oxford Finance Co.-Issuer II, Inc.
6.375% due 02/01/27 ~

    75,000       70,218  
   

Principal
Amount

   

Value

 

Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer
4.875% due 05/15/29 ~

    $388,000       $334,248  

PennyMac Financial Services, Inc.

   

4.250% due 02/15/29 ~

    210,000       167,427  

5.375% due 10/15/25 ~

    225,000       210,386  

5.750% due 09/15/31 ~

    100,000       79,299  

Popular, Inc.
7.250% due 03/13/28

    125,000       123,780  

PRA Group, Inc.
8.375% due 02/01/28 ~

    75,000       75,054  

Provident Funding Associates LP/PFG Finance Corp.
6.375% due 06/15/25 ~

    50,000       44,393  

Radian Group, Inc.
4.875% due 03/15/27

    150,000       141,211  

Realogy Group LLC/Realogy Co-Issuer Corp.
5.250% due 04/15/30 ~

    273,000       199,230  

RHP Hotel Properties LP/RHP Finance Corp.
4.500% due 02/15/29 ~

    110,000       99,492  

Rocket Mortgage LLC/Rocket Mortgage Co.-Issuer, Inc.

   

2.875% due 10/15/26 ~

    242,000       216,848  

4.000% due 10/15/33 ~

    50,000       39,749  

Ryan Specialty Group LLC
4.375% due 02/01/30 ~

    120,000       105,075  

SBA Communications Corp.
3.125% due 02/01/29

    715,000       622,661  

Service Properties Trust

   

4.650% due 03/15/24

    100,000       97,635  

4.750% due 10/01/26

    150,000       125,397  

5.500% due 12/15/27

    100,000       89,604  

SLM Corp.

   

3.125% due 11/02/26

    175,000       148,959  

4.200% due 10/29/25

    110,000       99,105  

Starwood Property Trust, Inc.

   

3.625% due 07/15/26 ~

    110,000       91,508  

3.750% due 12/31/24 ~

    63,000       58,120  

4.375% due 01/15/27 ~

    125,000       103,451  

4.750% due 03/15/25

    138,000       129,956  

StoneX Group, Inc.
8.625% due 06/15/25 ~

    75,000       75,450  

Synchrony Financial
7.250% due 02/02/33

    188,000       166,088  

Synovus Financial Corp.
5.900% due 02/07/29

    100,000       81,498  

UniCredit SpA (Italy)
5.459% due 06/30/35 ~

    450,000       371,209  

United Wholesale Mortgage LLC
5.500% due 11/15/25 ~

    95,000       90,020  

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC
6.000% due 01/15/30 ~

    150,000       87,938  

Uniti Group LP/Uniti Group Finance, Inc./CSL Capital LLC

   

4.750% due 04/15/28 ~

    250,000       193,467  

6.500% due 02/15/29 ~

    275,000       168,095  

10.500% due 02/15/28 ~

    186,000       180,587  

USI, Inc.
6.875% due 05/01/25 ~

    105,000       103,534  

VistaJet Malta Finance PLC/XO Management Holding, Inc. (Switzerland)
7.875% due 05/01/27 ~

    455,000       440,424  
   

 

 

 
      19,375,252  
   

 

 

 

Industrial - 10.9%

 

Advanced Drainage Systems, Inc.
6.375% due 06/15/30 ~

    82,000       80,443  

AECOM
5.125% due 03/15/27

    165,000       163,605  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

231

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC

   

3.250% due 09/01/28 ~

    $100,000       $86,175  

4.000% due 09/01/29 ~

    350,000       274,209  

6.000% due 06/15/27 ~

    200,000       198,480  

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc.
5.250% due 04/30/25 ~

    200,000       197,189  

Artera Services LLC
9.033% due 12/04/25 ~

    90,000       77,522  

ATS Corp. (Canada)
4.125% due 12/15/28 ~

    200,000       177,611  

Ball Corp.

   

4.000% due 11/15/23

    71,000       70,235  

4.875% due 03/15/26

    265,000       263,304  

5.250% due 07/01/25

    190,000       188,931  

6.875% due 03/15/28

    155,000       160,583  

Berry Global, Inc.
4.500% due 02/15/26 ~

    89,000       85,763  

Bombardier, Inc. (Canada)

   

6.000% due 02/15/28 ~

    67,000       65,325  

7.125% due 06/15/26 ~

    366,000       367,647  

7.500% due 02/01/29 ~

    115,000       117,587  

BWX Technologies, Inc.
4.125% due 04/15/29 ~

    200,000       177,594  

Cargo Aircraft Management, Inc.
4.750% due 02/01/28 ~

    390,000       349,155  

Cascades, Inc./Cascades USA, Inc. (Canada)
5.125% due 01/15/26 ~

    250,000       236,059  

Chart Industries, Inc.

   

7.500% due 01/01/30 ~

    402,000       415,857  

9.500% due 01/01/31 ~

    100,000       105,596  

Clean Harbors, Inc.
5.125% due 07/15/29 ~

    100,000       95,456  

Clearwater Paper Corp.

   

4.750% due 08/15/28 ~

    250,000       224,912  

5.375% due 02/01/25 ~

    50,000       48,706  

Clydesdale Acquisition Holdings, Inc.
8.750% due 04/15/30 ~

    327,000       297,547  

Covanta Holding Corp.
5.000% due 09/01/30

    200,000       172,475  

CP Atlas Buyer, Inc.
7.000% due 12/01/28 ~

    200,000       148,761  

Crown Americas LLC/Crown Americas Capital Corp. V
4.250% due 09/30/26

    190,000       182,341  

Crown Americas LLC/Crown Americas Capital Corp. VI
4.750% due 02/01/26

    250,000       243,716  

EnerSys
4.375% due 12/15/27 ~

    150,000       139,810  

EnPro Industries, Inc.
5.750% due 10/15/26

    100,000       97,370  

F-Brasile SpA/F-Brasile US LLC (Italy)
7.375% due 08/15/26 ~

    200,000       167,210  

Fluor Corp.
3.500% due 12/15/24

    155,000       151,371  

FXI Holdings, Inc.
7.875% due 11/01/24 ~

    121,000       113,005  

GFL Environmental, Inc. (Canada)

   

3.750% due 08/01/25 ~

    506,000       486,785  

4.250% due 06/01/25 ~

    65,000       63,487  

Graphic Packaging International LLC

   

3.750% due 02/01/30 ~

    125,000       108,606  

4.125% due 08/15/24

    100,000       97,768  

4.750% due 07/15/27 ~

    200,000       190,876  

Great Lakes Dredge & Dock Corp.
5.250% due 06/01/29 ~

    250,000       189,275  

Griffon Corp.
5.750% due 03/01/28

    125,000       116,066  

Hillenbrand, Inc.

   
   

Principal
Amount

   

Value

 

3.750% due 03/01/31

    $125,000       $104,564  

5.750% due 06/15/25

    165,000       164,748  

Howmet Aerospace, Inc.

   

5.950% due 02/01/37

    147,000       148,279  

6.750% due 01/15/28

    257,000       270,194  

6.875% due 05/01/25

    12,000       12,469  

Husky III Holding Ltd. (Canada)
13.000% Cash or 13.750% PIK
due 02/15/25 ~

    200,000       169,500  

Imola Merger Corp.
4.750% due 05/15/29 ~

    530,000       474,732  

James Hardie International Finance DAC
5.000% due 01/15/28 ~

    200,000       187,761  

LABL, Inc.

   

5.875% due 11/01/28 ~

    40,000       35,618  

9.500% due 11/01/28 ~

    43,000       43,430  

Likewize Corp.
9.750% due 10/15/25 ~

    120,000       109,170  

LSB Industries, Inc.
6.250% due 10/15/28 ~

    283,000       252,142  

Madison IAQ LLC
4.125% due 06/30/28 ~

    210,000       181,884  

MasTec, Inc.
6.625% due 08/15/29 ~

    100,000       89,654  

Mauser Packaging Solutions Holding Co.

   

7.875% due 08/15/26 ~

    350,000       350,317  

9.250% due 04/15/27 ~

    505,000       467,125  

Mueller Water Products, Inc.
4.000% due 06/15/29 ~

    50,000       44,709  

NAC Aviation 29 DAC (Ireland)
4.750% due 06/30/26

    223,269       190,895  

New Enterprise Stone & Lime Co., Inc.

   

5.250% due 07/15/28 ~

    120,000       106,226  

9.750% due 07/15/28 ~

    250,000       238,975  

Oscar AcquisitionCo LLC/Oscar Finance, Inc.
9.500% due 04/15/30 ~

    100,000       86,138  

Owens-Brockway Glass Container, Inc.

   

5.375% due 01/15/25 ~

    48,000       47,292  

5.875% due 08/15/23 ~

    73,000       72,958  

6.375% due 08/15/25 ~

    300,000       300,428  

Pactiv Evergreen Group Issuer LLC/Pactiv Evergreen Group Issuer, Inc.
4.375% due 10/15/28 ~

    100,000       87,524  

Pactiv Evergreen Group Issuer, Inc./Pactiv Evergreen Group Issuer LLC
4.000% due 10/15/27 ~

    600,000       539,529  

Pactiv LLC

   

7.950% due 12/15/25

    100,000       101,522  

8.375% due 04/15/27

    100,000       98,866  

Railworks Holdings LP/Railworks Rally, Inc.
8.250% due 11/15/28 ~

    150,000       139,702  

Rand Parent LLC
8.500% due 02/15/30 ~

    230,000       216,447  

Roller Bearing Co. of America, Inc.
4.375% due 10/15/29 ~

    50,000       44,708  

Sealed Air Corp.

   

5.000% due 04/15/29 ~

    100,000       94,094  

5.125% due 12/01/24 ~

    50,000       49,706  

5.500% due 09/15/25 ~

    290,000       286,827  

6.875% due 07/15/33 ~

    54,000       54,240  

Sealed Air Corp./Sealed Air Corp.
6.125% due 02/01/28 ~

    107,000       108,305  

Seaspan Corp. (Hong Kong)
5.500% due 08/01/29 ~

    121,000       94,497  

Sensata Technologies BV

   

5.000% due 10/01/25 ~

    250,000       248,425  

5.625% due 11/01/24 ~

    200,000       199,600  

5.875% due 09/01/30 ~

    109,000       108,144  

Silgan Holdings, Inc.
4.125% due 02/01/28

    140,000       131,908  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

232

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Spirit AeroSystems, Inc.

   

3.850% due 06/15/26

    $350,000       $333,623  

4.600% due 06/15/28

    55,000       46,677  

7.500% due 04/15/25 ~

    75,000       75,074  

SPX FLOW, Inc.
8.750% due 04/01/30 ~

    167,000       144,308  

Standard Industries, Inc.

   

3.375% due 01/15/31 ~

    466,000       375,046  

5.000% due 02/15/27 ~

    460,000       437,511  

Stericycle, Inc.

   

3.875% due 01/15/29 ~

    324,000       283,247  

5.375% due 07/15/24 ~

    201,000       199,675  

Summit Materials LLC/Summit Materials Finance Corp.

   

5.250% due 01/15/29 ~

    165,000       156,167  

6.500% due 03/15/27 ~

    175,000       173,725  

Tervita Corp. (Canada)
11.000% due 12/01/25 ~

    210,000       225,897  

Titan Acquisition Ltd./Titan Co.-Borrower LLC (Canada)
7.750% due 04/15/26 ~

    155,000       129,971  

TopBuild Corp.
4.125% due 02/15/32 ~

    35,000       29,295  

TransDigm UK Holdings PLC
6.875% due 05/15/26

    235,000       231,704  

TransDigm, Inc.

   

4.625% due 01/15/29

    488,000       434,340  

6.250% due 03/15/26 ~

    990,000       991,906  

6.750% due 08/15/28 ~

    689,000       696,751  

8.000% due 12/15/25 ~

    140,000       142,712  

TriMas Corp.
4.125% due 04/15/29 ~

    100,000       88,120  

Trinity Industries, Inc.
4.550% due 10/01/24

    175,000       169,484  

Triumph Group, Inc.
9.000% due 03/15/28 ~

    137,000       137,315  

Trivium Packaging Finance BV (Netherlands)
8.500% due 08/15/27 ~

    200,000       182,192  

TTM Technologies, Inc.
4.000% due 03/01/29 ~

    390,000       339,848  

Tutor Perini Corp.
6.875% due 05/01/25 ~

    150,000       105,935  

Waste Pro USA, Inc.
5.500% due 02/15/26 ~

    240,000       220,965  

Watco Cos LLC/Watco Finance Corp.
6.500% due 06/15/27 ~

    200,000       187,720  

WESCO Distribution, Inc.

   

7.125% due 06/15/25 ~

    220,000       223,832  

7.250% due 06/15/28 ~

    190,000       195,278  

Western Global Airlines LLC
10.375% due 08/15/25 ~

    225,000       92,054  

XPO CNW, Inc.
6.700% due 05/01/34

    250,000       226,594  
   

 

 

 
      21,224,631  
   

 

 

 

Technology - 2.8%

 

Ahead DB Holdings LLC
6.625% due 05/01/28 ~

    33,000       27,431  

Alteryx, Inc.
8.750% due 03/15/28 ~

    94,000       94,693  

AthenaHealth Group, Inc.
6.500% due 02/15/30 ~

    435,000       353,115  

Black Knight InfoServ LLC
3.625% due 09/01/28 ~

    164,000       149,445  

Central Parent, Inc./CDK Global, Inc.
7.250% due 06/15/29 ~

    185,000       181,999  

Cloud Software Group Holdings, Inc.
6.500% due 03/31/29 ~

    775,000       686,277  

Conduent Business Services LLC/Conduent State & Local Solutions, Inc.
6.000% due 11/01/29 ~

    100,000       78,989  

Consensus Cloud Solutions, Inc.

   
   

Principal
Amount

   

Value

 

6.000% due 10/15/26 ~

    $250,000       $217,416  

6.500% due 10/15/28 ~

    90,000       74,718  

Crowdstrike Holdings, Inc.
3.000% due 02/15/29

    115,000       100,467  

CWT Travel Group, Inc.
8.500% due 11/19/26 ~

    148,000       116,180  

Diebold Nixdorf, Inc.
8.500% Cash or 12.500% PIK due 10/15/26 ~

    101,747       25,978  

Elastic NV
4.125% due 07/15/29 ~

    165,000       141,045  

Exela Intermediate LLC/Exela Finance, Inc.
11.500% due 07/15/26 ~

    296,000       38,785  

Fair Isaac Corp.
5.250% due 05/15/26 ~

    100,000       100,030  

McAfee Corp.
7.375% due 02/15/30 ~

    465,000       390,318  

NCR Corp.
5.125% due 04/15/29 ~

    96,000       83,160  

ON Semiconductor Corp.
3.875% due 09/01/28 ~

    205,000       184,760  

Open Text Corp. (Canada)
3.875% due 12/01/29 ~

    117,000       98,619  

PTC, Inc.

   

3.625% due 02/15/25 ~

    77,000       74,332  

4.000% due 02/15/28 ~

    363,000       339,556  

Rocket Software, Inc.
6.500% due 02/15/29 ~

    200,000       157,706  

Science Applications International Corp.
4.875% due 04/01/28 ~

    160,000       149,188  

Seagate HDD Cayman

   

4.875% due 03/01/24

    300,000       296,637  

5.750% due 12/01/34

    50,000       45,688  

SS&C Technologies, Inc.
5.500% due 09/30/27 ~

    718,000       697,482  

Synaptics, Inc.
4.000% due 06/15/29 ~

    200,000       172,536  

Unisys Corp.
6.875% due 11/01/27 ~

    200,000       127,759  

Veritas US, Inc./Veritas Bermuda Ltd.
7.500% due 09/01/25 ~

    50,000       37,688  

Western Digital Corp.
4.750% due 02/15/26

    220,000       211,363  

Xerox Corp.
6.750% due 12/15/39

    150,000       107,606  
   

 

 

 
      5,560,966  
   

 

 

 

Utilities - 2.8%

 

Algonquin Power & Utilities Corp. (Canada)
4.750% due 01/18/82

    100,000       80,141  

AmeriGas Partners LP/AmeriGas Finance Corp.

   

5.500% due 05/20/25

    65,000       62,424  

5.625% due 05/20/24

    165,000       161,901  

5.875% due 08/20/26

    484,000       463,612  

Calpine Corp.

   

3.750% due 03/01/31 ~

    265,000       223,772  

4.500% due 02/15/28 ~

    107,000       99,384  

4.625% due 02/01/29 ~

    200,000       172,958  

5.000% due 02/01/31 ~

    185,000       156,806  

5.125% due 03/15/28 ~

    339,000       310,833  

5.250% due 06/01/26 ~

    83,000       81,013  

Clearway Energy Operating LLC

   

3.750% due 02/15/31 ~

    300,000       259,020  

3.750% due 01/15/32 ~

    175,000       145,766  

4.750% due 03/15/28 ~

    174,000       166,363  

DPL, Inc.

   

4.125% due 07/01/25

    150,000       143,456  

4.350% due 04/15/29

    150,000       133,326  

FirstEnergy Corp.

   

1.600% due 01/15/26

    100,000       91,429  

2.050% due 03/01/25

    100,000       94,074  

7.375% due 11/15/31

    450,000       505,192  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

233

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

NextEra Energy Operating Partners LP

   

3.875% due 10/15/26 ~

    $300,000       $279,706  

4.500% due 09/15/27 ~

    158,000       151,037  

NRG Energy, Inc.

   

3.375% due 02/15/29 ~

    90,000       74,621  

3.875% due 02/15/32 ~

    639,000       511,897  

5.750% due 01/15/28

    197,000       193,493  

Pattern Energy Operations LP/Pattern Energy Operations, Inc.
4.500% due 08/15/28 ~

    185,000       169,537  

PG&E Corp.
5.000% due 07/01/28

    115,000       108,710  

Pike Corp.
5.500% due 09/01/28 ~

    171,000       149,806  

Solaris Midstream Holdings LLC
7.625% due 04/01/26 ~

    100,000       96,269  

TransAlta Corp. (Canada)
6.500% due 03/15/40

    100,000       92,184  

Vistra Operations Co. LLC

   

5.000% due 07/31/27 ~

    74,000       70,071  

5.625% due 02/15/27 ~

    250,000       242,956  
   

 

 

 
      5,491,757  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $208,337,126)

      188,660,842  
   

 

 

 
   

Shares

       

SHORT-TERM INVESTMENT - 1.5%

   

Money Market Fund - 1.5%

 

BlackRock Liquidity Funds: T-Fund, Institutional Shares 4.700%

    2,903,536       2,903,536  
   

 

 

 

Total Short-Term Investment
(Cost $2,903,536)

      2,903,536  
   

 

 

 

TOTAL INVESTMENTS - 98.5%
(Cost $211,285,653)

      191,567,958  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 1.5%

      2,924,147  
   

 

 

 

NET ASSETS - 100.0%

      $194,492,105  
   

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $830 or less than 0.1% of the Fund’s net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees.

(b)

An investment with a value of $830 or less than 0.1% of the Fund’s net assets was in default as of March 31, 2023.

    

 
(c)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $3,580        $3,580        $-        $-  
 

Corporate Bonds & Notes

     188,660,842        -        188,660,842        -  
 

Short-Term Investment

     2,903,536        2,903,536        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $191,567,958        $2,907,116        $188,660,842        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

234

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.4%

 

Basic Materials - 1.0%

 

Albemarle Corp.

    2,531       $559,452  

Axalta Coating Systems Ltd. *

    2,364       71,606  

CF Industries Holdings, Inc.

    8,220       595,868  

Chemours Co.

    3,728       111,616  

Ecolab, Inc.

    9,201       1,523,042  

FMC Corp.

    1,757       214,582  

Linde PLC

    4,361       1,550,074  

Mosaic Co.

    1,504       69,004  

MP Materials Corp. *

    4,119       116,115  

PPG Industries, Inc.

    5,254       701,829  

Royal Gold, Inc.

    219       28,406  

RPM International, Inc.

    295       25,736  

Sherwin-Williams Co.

    10,049       2,258,714  

Southern Copper Corp. (Mexico)

    2,213       168,741  

Valvoline, Inc.

    7,209       251,882  
   

 

 

 
    8,246,667  
   

 

 

 

Communications - 13.5%

 

Airbnb, Inc. Class A *

    15,765       1,961,166  

Alphabet, Inc. Class A *

    219,949       22,815,310  

Alphabet, Inc. Class C *

    191,273       19,892,392  

Amazon.com, Inc. *

    373,561       38,585,116  

Arista Networks, Inc. *

    10,333       1,734,497  

Booking Holdings, Inc. *

    1,630       4,323,428  

Cable One, Inc.

    130       91,260  

CDW Corp.

    5,677       1,106,391  

Charter Communications, Inc. Class A *

    4,418       1,579,921  

Corning, Inc.

    2,023       71,371  

DoorDash, Inc. Class A *

    9,286       590,218  

eBay, Inc.

    2,741       121,618  

Etsy, Inc. *

    5,249       584,371  

Expedia Group, Inc. *

    6,192       600,810  

FactSet Research Systems, Inc.

    1,593       661,238  

Gen Digital, Inc.

    8,249       141,553  

GoDaddy, Inc. Class A *

    927       72,046  

Liberty Broadband Corp. Class A *

    440       36,133  

Liberty Broadband Corp. Class C *

    2,327       190,116  

Liberty Media Corp. - Liberty Formula One Class C *

    1,020       76,327  

Liberty Media Corp. - Liberty SiriusXM
Class A *

    947       26,601  

Liberty Media Corp. - Liberty SiriusXM
Class C *

    1,953       54,664  

Lyft, Inc. Class A *

    11,133       103,203  

Match Group, Inc. *

    10,964       420,908  

Meta Platforms, Inc. Class A *

    19,920       4,221,845  

Netflix, Inc. *

    8,298       2,866,793  

Nexstar Media Group, Inc.

    99       17,093  

Okta, Inc. *

    858       73,994  

Opendoor Technologies, Inc. *

    8,920       15,699  

Palo Alto Networks, Inc. *

    12,493       2,495,352  

Pinterest, Inc. Class A *

    5,501       150,012  

Roku, Inc. *

    1,539       101,297  

Spotify Technology SA *

    5,877       785,285  

Trade Desk, Inc. Class A *

    18,426       1,122,328  

TripAdvisor, Inc. *

    376       7,467  

Uber Technologies, Inc. *

    69,838       2,213,865  

Ubiquiti, Inc.

    78       21,192  

VeriSign, Inc. *

    466       98,480  

Walt Disney Co. *

    5,131       513,767  

Warner Bros Discovery, Inc. *

    72,709       1,097,906  

Wayfair, Inc. Class A *

    1,781       61,160  

Wix.com Ltd. * (Israel)

    1,800       179,640  

World Wrestling Entertainment, Inc. Class A

    1,807       164,907  

Zillow Group, Inc. Class C *

    454       20,189  
   

 

 

 
    112,068,929  
   

 

 

 
   

Shares

   

Value

 

Consumer, Cyclical - 10.8%

 

 

Advance Auto Parts, Inc.

    219       $26,633  

Allison Transmission Holdings, Inc.

    3,058       138,344  

Aptiv PLC *

    2,849       319,629  

AutoZone, Inc. *

    715       1,757,577  

Best Buy Co., Inc.

    2,598       203,345  

BJ’s Wholesale Club Holdings, Inc. *

    3,535       268,907  

Brunswick Corp.

    640       52,480  

Burlington Stores, Inc. *

    2,554       516,163  

Caesars Entertainment, Inc. *

    5,908       288,369  

CarMax, Inc. *

    567       36,447  

Carvana Co. *

    5,288       51,770  

Chipotle Mexican Grill, Inc. *

    1,154       1,971,367  

Choice Hotels International, Inc.

    1,350       158,206  

Churchill Downs, Inc.

    1,498       385,061  

Copart, Inc. *

    17,898       1,346,109  

Core & Main, Inc. Class A *

    899       20,767  

Costco Wholesale Corp.

    18,608       9,245,757  

Darden Restaurants, Inc.

    3,752       582,160  

Deckers Outdoor Corp. *

    976       438,761  

Delta Air Lines, Inc. *

    26,878       938,580  

Dollar General Corp.

    9,470       1,993,056  

Dollar Tree, Inc. *

    2,718       390,169  

Domino’s Pizza, Inc.

    1,083       357,249  

DR Horton, Inc.

    6,942       678,164  

DraftKings, Inc. Class A *

    14,856       287,612  

Fastenal Co.

    24,172       1,303,838  

Five Below, Inc. *

    2,291       471,877  

Floor & Decor Holdings, Inc. Class A *

    4,333       425,587  

Freshpet, Inc. *

    1,154       76,383  

Genuine Parts Co.

    511       85,495  

Hilton Worldwide Holdings, Inc.

    7,968       1,122,452  

Home Depot, Inc.

    24,842       7,331,371  

Las Vegas Sands Corp. *

    5,180       297,591  

Leslie’s, Inc. *

    6,503       71,598  

Live Nation Entertainment, Inc. *

    3,273       229,110  

Lowe’s Cos., Inc.

    21,943       4,387,942  

Lucid Group, Inc. *

    22,664       182,219  

Lululemon Athletica, Inc. *

    4,690       1,708,051  

Madison Square Garden Sports Corp.

    402       78,330  

Marriott International, Inc. Class A

    11,150       1,851,346  

Mattel, Inc. *

    7,692       141,610  

McDonald’s Corp.

    7,548       2,110,496  

NIKE, Inc. Class B

    50,560       6,200,678  

Nordstrom, Inc.

    4,322       70,319  

Norwegian Cruise Line Holdings Ltd. *

    2,090       28,110  

NVR, Inc. *

    88       490,353  

O’Reilly Automotive, Inc. *

    1,062       901,617  

Planet Fitness, Inc. Class A *

    2,582       200,544  

Polaris, Inc.

    1,712       189,399  

Pool Corp.

    1,597       546,877  

PulteGroup, Inc.

    3,721       216,860  

RH *

    285       69,412  

Ross Stores, Inc.

    6,070       644,209  

Scotts Miracle-Gro Co.

    627       43,727  

SiteOne Landscape Supply, Inc. *

    1,108       151,652  

Six Flags Entertainment Corp. *

    1,629       43,511  

Skechers USA, Inc. Class A *

    592       28,132  

Starbucks Corp.

    17,350       1,806,655  

Tapestry, Inc.

    1,109       47,809  

Target Corp.

    10,724       1,776,216  

Tesla, Inc. *

    108,623       22,534,928  

TJX Cos., Inc.

    48,779       3,822,322  

Toll Brothers, Inc.

    2,218       133,147  

Tractor Supply Co.

    4,637       1,089,880  

Travel & Leisure Co.

    2,615       102,508  

Ulta Beauty, Inc. *

    2,116       1,154,638  

Vail Resorts, Inc.

    1,597       373,187  

Victoria’s Secret, Inc. *

    2,740       93,571  

Watsco, Inc.

    714       227,166  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

235

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Wendy’s Co.

    7,159       $ 155,923  

WESCO International, Inc.

    910       140,631  

Williams-Sonoma, Inc.

    2,200       267,652  

WW Grainger, Inc.

    1,892       1,303,229  

Wyndham Hotels & Resorts, Inc.

    2,529       171,593  

Wynn Resorts Ltd. *

    608       68,041  

YETI Holdings, Inc. *

    3,374       134,960  

Yum! Brands, Inc.

    1,313       173,421  
   

 

 

 
    89,730,855  
   

 

 

 

Consumer, Non-Cyclical - 17.3%

 

10X Genomics, Inc. Class A *

    3,361       187,510  

Abbott Laboratories

    9,513       963,286  

AbbVie, Inc.

    74,279       11,837,844  

agilon health, Inc. *

    7,413       176,059  

Align Technology, Inc. *

    2,471       825,660  

Alnylam Pharmaceuticals, Inc. *

    5,161       1,033,852  

AmerisourceBergen Corp.

    6,846       1,096,113  

Amgen, Inc.

    18,852       4,557,471  

Automatic Data Processing, Inc.

    16,110       3,586,569  

Avantor, Inc. *

    23,786       502,836  

Avery Dennison Corp.

    2,102       376,111  

Baxter International, Inc.

    3,567       144,678  

Bio-Techne Corp.

    6,532       484,609  

Booz Allen Hamilton Holding Corp.

    5,511       510,815  

Boston Beer Co., Inc. Class A *

    356       117,017  

Bright Horizons Family Solutions, Inc. *

    756       58,204  

Brown-Forman Corp. Class A

    1,192       77,707  

Brown-Forman Corp. Class B

    4,531       291,207  

Bruker Corp.

    4,501       354,859  

Catalent, Inc. *

    2,472       162,435  

Certara, Inc. *

    2,623       63,241  

Charles River Laboratories International, Inc. *

    1,975       398,595  

Chemed Corp.

    203       109,163  

Church & Dwight Co., Inc.

    4,618       408,277  

Cigna Group

    1,958       500,328  

Cintas Corp.

    3,392       1,569,411  

Clorox Co.

    4,289       678,691  

Coca-Cola Co.

    123,077       7,634,466  

Colgate-Palmolive Co.

    21,397       1,607,985  

CoStar Group, Inc. *

    2,422       166,755  

Danaher Corp.

    1,850       466,274  

Darling Ingredients, Inc. *

    213       12,439  

DaVita, Inc. *

    2,335       189,392  

Dexcom, Inc. *

    16,185       1,880,373  

Edwards Lifesciences Corp. *

    25,954       2,147,174  

Elevance Health, Inc.

    3,080       1,416,215  

Eli Lilly & Co.

    28,827       9,899,768  

Equifax, Inc.

    2,552       517,648  

Estee Lauder Cos., Inc. Class A

    9,643       2,376,614  

Euronet Worldwide, Inc. *

    1,438       160,912  

Exact Sciences Corp. *

    1,437       97,443  

Exelixis, Inc. *

    11,000       213,510  

FleetCor Technologies, Inc. *

    3,014       635,502  

FTI Consulting, Inc. *

    643       126,896  

Gartner, Inc. *

    3,223       1,049,957  

GE HealthCare Technologies, Inc. *

    929       76,206  

Ginkgo Bioworks Holdings, Inc. *

    9,821       13,062  

Globus Medical, Inc. Class A *

    5       283  

Grocery Outlet Holding Corp. *

    577       16,306  

Guardant Health, Inc. *

    3,971       93,080  

GXO Logistics, Inc. *

    523       26,391  

H&R Block, Inc.

    5,276       185,979  

HCA Healthcare, Inc.

    531       140,014  

Hershey Co.

    5,314       1,351,935  

Horizon Therapeutics PLC *

    8,644       943,406  

Humana, Inc.

    3,751       1,820,960  

ICU Medical, Inc. *

    170       28,043  

IDEXX Laboratories, Inc. *

    3,452       1,726,276  

Incyte Corp. *

    6,628       479,006  
   

Shares

   

Value

 

Insulet Corp. *

    2,890       $ 921,794  

Intuitive Surgical, Inc. *

    13,636       3,483,589  

Ionis Pharmaceuticals, Inc. *

    5,311       189,815  

IQVIA Holdings, Inc. *

    7,790       1,549,353  

Kellogg Co.

    5,866       392,787  

Kimberly-Clark Corp.

    8,383       1,125,166  

Lamb Weston Holdings, Inc.

    6,051       632,451  

Maravai LifeSciences Holdings, Inc. Class A *

    5,092       71,339  

MarketAxess Holdings, Inc.

    1,559       610,021  

Masimo Corp. *

    1,524       281,239  

McKesson Corp.

    1,128       401,624  

Merck & Co., Inc.

    44,548       4,739,462  

Mister Car Wash, Inc. *

    2,422       20,878  

Moderna, Inc. *

    781       119,946  

Molina Healthcare, Inc. *

    1,866       499,136  

Monster Beverage Corp. *

    28,454       1,536,801  

Moody’s Corp.

    6,332       1,937,719  

Morningstar, Inc.

    946       192,066  

Natera, Inc. *

    3,809       211,476  

Neurocrine Biosciences, Inc. *

    4,021       407,006  

Novavax, Inc. *

    3,498       24,241  

Novocure Ltd. *

    4,337       260,827  

Olaplex Holdings, Inc. *

    5,642       24,091  

Paylocity Holding Corp. *

    1,686       335,143  

PayPal Holdings, Inc. *

    14,753       1,120,343  

Penumbra, Inc. *

    1,497       417,199  

PepsiCo, Inc.

    49,097       8,950,383  

Performance Food Group Co. *

    2,133       128,705  

Pilgrim’s Pride Corp. *

    1,027       23,806  

Procter & Gamble Co.

    42,263       6,284,085  

Quanta Services, Inc.

    3,262       543,580  

Regeneron Pharmaceuticals, Inc. *

    636       522,582  

Repligen Corp. *

    1,653       278,299  

ResMed, Inc.

    6,067       1,328,612  

Ritchie Bros Auctioneers, Inc. (Canada)

    2,342       131,831  

Robert Half International, Inc.

    3,913       315,270  

Rollins, Inc.

    9,007       338,033  

Sarepta Therapeutics, Inc. *

    3,533       486,953  

Seagen, Inc. *

    5,708       1,155,699  

Shift4 Payments, Inc. Class A *

    2,119       160,620  

Sotera Health Co. *

    4,611       82,583  

Stryker Corp.

    7,900       2,255,213  

Syneos Health, Inc. *

    750       26,715  

Sysco Corp.

    21,334       1,647,625  

Tandem Diabetes Care, Inc. *

    2,700       109,647  

Teladoc Health, Inc. *

    761       19,710  

Thermo Fisher Scientific, Inc.

    2,006       1,156,198  

Toast, Inc. Class A *

    10,200       181,050  

TransUnion

    5,922       367,993  

Ultragenyx Pharmaceutical, Inc. *

    2,248       90,145  

United Rentals, Inc.

    1,346       532,693  

UnitedHealth Group, Inc.

    35,774       16,906,435  

Verisk Analytics, Inc.

    6,522       1,251,311  

Vertex Pharmaceuticals, Inc. *

    10,145       3,196,385  

Waters Corp. *

    2,480       767,882  

West Pharmaceutical Services, Inc.

    3,109       1,077,175  

WEX, Inc. *

    1,257       231,150  

WillScot Mobile Mini Holdings Corp. *

    4,542       212,929  

Zoetis, Inc.

    19,788       3,293,515  
   

 

 

 
    144,133,142  
   

 

 

 

Energy - 1.5%

 

Antero Resources Corp. *

    7,641       176,431  

Cheniere Energy, Inc.

    6,010       947,176  

Coterra Energy, Inc.

    4,901       120,270  

Devon Energy Corp.

    13,356       675,947  

Diamondback Energy, Inc.

    4,293       580,285  

Enphase Energy, Inc. *

    5,496       1,155,699  

Enviva, Inc.

    1,390       40,143  

EOG Resources, Inc.

    17,965       2,059,328  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

236

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Halliburton Co.

    17,091       $ 540,759  

Hess Corp.

    9,259       1,225,336  

New Fortress Energy, Inc.

    2,391       70,367  

Occidental Petroleum Corp.

    27,546       1,719,697  

ONEOK, Inc.

    2,281       144,935  

Ovintiv, Inc.

    7,336       264,683  

PDC Energy, Inc.

    1,906       122,327  

Pioneer Natural Resources Co.

    5,492       1,121,686  

Plug Power, Inc. *

    11,720       137,358  

Range Resources Corp.

    6,525       172,717  

Southwestern Energy Co. *

    3,587       17,935  

Targa Resources Corp.

    9,486       692,004  

Texas Pacific Land Corp.

    240       408,245  
   

 

 

 
    12,393,328  
   

 

 

 

Financial - 7.1%

 

American Express Co.

    1,575       259,796  

American Tower Corp. REIT

    14,956       3,056,109  

Ameriprise Financial, Inc.

    2,818       863,717  

Aon PLC Class A

    8,110       2,557,002  

Apartment Income REIT Corp. REIT

    594       21,271  

Apollo Global Management, Inc.

    15,473       977,275  

Arch Capital Group Ltd. *

    4,833       328,016  

Ares Management Corp. Class A

    6,439       537,270  

Arthur J Gallagher & Co.

    946       180,979  

Assurant, Inc.

    164       19,691  

Blackstone, Inc.

    29,814       2,618,862  

Blue Owl Capital, Inc.

    17,710       196,227  

Brown & Brown, Inc.

    808       46,395  

Camden Property Trust REIT

    395       41,412  

CBRE Group, Inc. Class A *

    6,459       470,280  

Charles Schwab Corp.

    35,454       1,857,080  

Crown Castle, Inc. REIT

    18,132       2,426,787  

Equinix, Inc. REIT

    2,926       2,109,763  

Equity LifeStyle Properties, Inc. REIT

    4,570       306,784  

Erie Indemnity Co. Class A

    779       180,463  

Everest Re Group Ltd.

    477       170,776  

Extra Space Storage, Inc. REIT

    716       116,658  

First Citizens BancShares, Inc. Class A

    94       91,471  

Iron Mountain, Inc. REIT

    9,077       480,264  

Lamar Advertising Co. Class A REIT

    3,194       319,049  

Lincoln National Corp.

    1,760       39,547  

LPL Financial Holdings, Inc.

    3,342       676,421  

Markel Corp. *

    120       153,289  

Marsh & McLennan Cos., Inc.

    18,589       3,095,998  

Mastercard, Inc. Class A

    35,763       12,996,632  

Progressive Corp.

    21,345       3,053,616  

Public Storage REIT

    5,213       1,575,056  

Raymond James Financial, Inc.

    709       66,128  

RenaissanceRe Holdings Ltd. (Bermuda)

    957       191,725  

Rocket Cos., Inc. Class A *

    2,998       27,162  

Ryan Specialty Holdings, Inc. *

    3,117       125,428  

SBA Communications Corp. REIT

    1,021       266,552  

Simon Property Group, Inc. REIT

    6,644       743,929  

Tradeweb Markets, Inc. Class A

    2,761       218,174  

Upstart Holdings, Inc. *

    636       10,106  

UWM Holdings Corp.

    3,214       15,781  

Visa, Inc. Class A

    68,319       15,403,202  

Western Alliance Bancorp

    2,938       104,417  

Western Union Co.

    3,917       43,675  
   

 

 

 
    59,040,235  
   

 

 

 

Industrial - 6.6%

 

Advanced Drainage Systems, Inc.

    2,614       220,125  

AECOM

    376       31,704  

AGCO Corp.

    414       55,973  

Agilent Technologies, Inc.

    11,155       1,543,183  

Allegion PLC

    2,914       311,011  

Amphenol Corp. Class A

    18,543       1,515,334  

AO Smith Corp.

    1,403       97,017  
   

Shares

   

Value

 

Ardagh Metal Packaging SA

    3,859       $ 15,745  

Armstrong World Industries, Inc.

    1,117       79,575  

Arrow Electronics, Inc. *

    19       2,373  

Axon Enterprise, Inc. *

    2,195       493,546  

Ball Corp.

    5,153       283,982  

Berry Global Group, Inc.

    2,444       143,952  

Boeing Co. *

    7,242       1,538,418  

BWX Technologies, Inc.

    1,616       101,873  

Carlisle Cos., Inc.

    1,820       411,447  

Caterpillar, Inc.

    19,049       4,359,173  

CH Robinson Worldwide, Inc.

    1,295       128,684  

ChargePoint Holdings, Inc. *

    11,604       121,494  

Cognex Corp.

    6,791       336,494  

Coherent Corp. *

    925       35,224  

Crown Holdings, Inc.

    4,257       352,096  

CSX Corp.

    22,243       665,955  

Deere & Co.

    11,411       4,711,374  

Donaldson Co., Inc.

    669       43,712  

Eagle Materials, Inc.

    1,246       182,851  

Emerson Electric Co.

    7,614       663,484  

Expeditors International of Washington, Inc.

    2,058       226,627  

Fortune Brands Innovations, Inc.

    1,635       96,024  

Generac Holdings, Inc. *

    2,615       282,446  

General Electric Co.

    2,530       241,868  

Graco, Inc.

    4,833       352,857  

Graphic Packaging Holding Co.

    9,721       247,788  

HEICO Corp.

    1,768       302,399  

HEICO Corp. Class A

    3,105       421,970  

Honeywell International, Inc.

    8,327       1,591,456  

Howmet Aerospace, Inc.

    1,760       74,571  

Huntington Ingalls Industries, Inc.

    393       81,359  

IDEX Corp.

    614       141,852  

Illinois Tool Works, Inc.

    11,545       2,810,630  

Jabil, Inc.

    4,457       392,929  

JB Hunt Transport Services, Inc.

    3,083       540,943  

Keysight Technologies, Inc. *

    6,969       1,125,354  

Landstar System, Inc.

    1,334       239,133  

Lincoln Electric Holdings, Inc.

    2,352       397,723  

Lockheed Martin Corp.

    9,570       4,524,026  

Louisiana-Pacific Corp.

    466       25,262  

Martin Marietta Materials, Inc.

    248       88,055  

Masco Corp.

    557       27,694  

Masterbrand, Inc. *

    2,045       16,442  

Mettler-Toledo International, Inc. *

    923       1,412,384  

Middleby Corp. *

    170       24,924  

MSA Safety, Inc.

    618       82,503  

National Instruments Corp.

    772       40,461  

Nordson Corp.

    615       136,690  

Northrop Grumman Corp.

    709       327,360  

Old Dominion Freight Line, Inc.

    4,171       1,421,644  

Otis Worldwide Corp.

    2,060       173,864  

Parker-Hannifin Corp.

    1,220       410,054  

Republic Services, Inc.

    599       80,997  

Rockwell Automation, Inc.

    3,256       955,473  

RXO, Inc. *

    353       6,933  

Sealed Air Corp.

    6,119       280,923  

Spirit AeroSystems Holdings, Inc. Class A

    4,496       155,247  

Tetra Tech, Inc.

    829       121,788  

TopBuild Corp. *

    1,130       235,198  

Toro Co.

    4,381       486,992  

Trane Technologies PLC

    5,606       1,031,392  

TransDigm Group, Inc.

    835       615,437  

Trex Co., Inc. *

    4,624       225,050  

Union Pacific Corp.

    25,829       5,198,345  

United Parcel Service, Inc. Class B

    27,559       5,346,170  

Universal Display Corp.

    1,823       282,802  

Valmont Industries, Inc.

    133       42,464  

Vertiv Holdings Co.

    2,178       31,167  

Vontier Corp.

    4,244       116,031  

Vulcan Materials Co.

    2,713       465,442  

Waste Management, Inc.

    16,153       2,635,685  

XPO, Inc. *

    353       11,261  

Xylem, Inc.

    1,139       119,253  
   

 

 

 
    55,169,141  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

237

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Technology - 40.5%

 

 

Accenture PLC Class A

    26,631       $7,611,406  

Adobe, Inc. *

    19,216       7,405,270  

Advanced Micro Devices, Inc. *

    53,492       5,242,751  

Allegro MicroSystems, Inc. * (Japan)

    2,782       133,508  

Alteryx, Inc. Class A *

    2,321       136,568  

Analog Devices, Inc.

    4,271       842,327  

ANSYS, Inc. *

    1,925       640,640  

Apple, Inc.

    631,668       104,162,053  

Applied Materials, Inc.

    35,366       4,344,006  

AppLovin Corp. Class A *

    8,532       134,379  

Aspen Technology, Inc. *

    1,132       259,081  

Atlassian Corp. Class A *

    6,110       1,045,849  

Autodesk, Inc. *

    9,142       1,902,999  

Bentley Systems, Inc. Class B

    7,078       304,283  

Black Knight, Inc. *

    653       37,587  

Broadcom, Inc.

    16,600       10,649,564  

Broadridge Financial Solutions, Inc.

    4,448       651,943  

Cadence Design Systems, Inc. *

    11,456       2,406,791  

CCC Intelligent Solutions Holdings, Inc. *

    2,979       26,722  

Ceridian HCM Holding, Inc. *

    1,180       86,400  

Cloudflare, Inc. Class A *

    11,874       732,151  

Confluent, Inc. Class A *

    5,639       135,731  

Crowdstrike Holdings, Inc. Class A *

    9,044       1,241,379  

Datadog, Inc. Class A *

    11,148       810,014  

Definitive Healthcare Corp. *

    1,131       11,683  

Dell Technologies, Inc. Class C

    1,244       50,021  

DocuSign, Inc. *

    8,294       483,540  

DoubleVerify Holdings, Inc. *

    2,703       81,495  

Doximity, Inc. Class A *

    2,096       67,868  

Dropbox, Inc. Class A *

    10,495       226,902  

Dynatrace, Inc. *

    9,285       392,755  

Elastic NV *

    3,248       188,059  

Electronic Arts, Inc.

    789       95,035  

Entegris, Inc.

    6,231       511,004  

EPAM Systems, Inc. *

    2,304       688,896  

Fair Isaac Corp. *

    1,019       716,041  

Fiserv, Inc. *

    2,250       254,317  

Five9, Inc. *

    2,939       212,460  

Fortinet, Inc. *

    27,097       1,800,867  

Genpact Ltd.

    3,800       175,636  

GLOBALFOUNDRIES, Inc. *

    686       49,515  

Globant SA *

    1,709       280,293  

HP, Inc.

    18,939       555,860  

HubSpot, Inc. *

    1,944       833,490  

International Business Machines Corp.

    25,265       3,311,989  

Intuit, Inc.

    11,582       5,163,603  

Jack Henry & Associates, Inc.

    3,047       459,244  

Jamf Holding Corp. *

    2,279       44,258  

KBR, Inc.

    3,636       200,162  

KLA Corp.

    5,819       2,322,770  

Lam Research Corp.

    5,664       3,002,600  

Lattice Semiconductor Corp. *

    5,697       544,063  

Manhattan Associates, Inc. *

    1,607       248,844  

Microchip Technology, Inc.

    19,089       1,599,276  

Micron Technology, Inc.

    8,624       520,372  

Microsoft Corp.

    314,480       90,664,584  

MongoDB, Inc. *

    2,784       649,006  

Monolithic Power Systems, Inc.

    1,925       963,539  

MSCI, Inc.

    2,457       1,375,158  

nCino, Inc. *

    506       12,539  

NCR Corp. *

    300       7,077  

NetApp, Inc.

    9,124       582,567  

New Relic, Inc. *

    2,116       159,314  

Nutanix, Inc. Class A *

    4,829       125,506  

NVIDIA Corp.

    99,436       27,620,338  
   

Shares

   

Value

 

ON Semiconductor Corp. *

    11,368       $ 935,814  

Oracle Corp.

    44,135       4,101,024  

Palantir Technologies, Inc. Class A *

    77,239       652,670  

Paychex, Inc.

    13,546       1,552,236  

Paycom Software, Inc. *

    2,149       653,317  

Pegasystems, Inc.

    1,787       86,634  

Playtika Holding Corp. *

    2,535       28,544  

Procore Technologies, Inc. *

    2,112       132,275  

PTC, Inc. *

    4,470       573,188  

Pure Storage, Inc. Class A *

    11,972       305,406  

QUALCOMM, Inc.

    47,093       6,008,125  

RingCentral, Inc. Class A *

    3,792       116,301  

ROBLOX Corp. Class A *

    18,784       844,904  

Salesforce, Inc. *

    8,656       1,729,296  

SentinelOne, Inc. Class A *

    5,472       89,522  

ServiceNow, Inc. *

    8,522       3,960,344  

Smartsheet, Inc. Class A *

    5,337       255,109  

Snowflake, Inc. Class A *

    12,190       1,880,795  

Splunk, Inc. *

    6,832       655,052  

Synopsys, Inc. *

    6,403       2,473,159  

Take-Two Interactive Software, Inc. *

    5,746       685,498  

Teradata Corp. *

    2,565       103,318  

Teradyne, Inc.

    5,964       641,190  

Texas Instruments, Inc.

    26,125       4,859,511  

Thoughtworks Holding, Inc. *

    3,865       28,446  

Twilio, Inc. Class A *

    2,580       171,905  

Tyler Technologies, Inc. *

    1,508       534,797  

UiPath, Inc. Class A *

    1,558       27,358  

Unity Software, Inc. *

    6,670       216,375  

Veeva Systems, Inc. Class A *

    5,851       1,075,355  

VMware, Inc. Class A *

    4,369       545,470  

Workday, Inc. Class A *

    8,388       1,732,458  

Zebra Technologies Corp. Class A *

    888       282,384  

Zoom Video Communications, Inc. Class A *

    5,199       383,894  

ZoomInfo Technologies, Inc. *

    11,539       285,129  

Zscaler, Inc. *

    3,543       413,929  
   

 

 

 
    337,216,680  
   

 

 

 

Utilities - 0.1%

 

AES Corp.

    5,453       131,308  

National Fuel Gas Co.

    357       20,613  

Vistra Corp.

    9,516       228,384  
   

 

 

 
    380,305  
   

 

 

 

Total Common Stocks
(Cost $693,872,292)

      818,379,282  
   

 

 

 

EXCHANGE-TRADED FUND - 1.0%

 

iShares Russell 1000 Growth

    35,029       8,558,636  
   

 

 

 

Total Exchange-Traded Fund
(Cost $7,657,725)

   

 

8,558,636

 

   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

238

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 0.6%

 

Repurchase Agreement - 0.6%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $4,890,011; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $4,986,039)

    $4,888,198       $4,888,198  
   

 

 

 

Total Short-Term Investment
(Cost $4,888,198)

      4,888,198  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $706,418,215)

      831,826,116  
   

 

 

 

DERIVATIVES - 0.0%

      364,915  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (229,258
   

 

 

 

NET ASSETS - 100.0%

      $831,961,773  
   

 

 

 

    

 

 

Notes to Schedule of Investments

 

(a)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
     Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

Nasdaq 100 E-Mini Index

     06/23        12        $2,939,017        $3,192,420        $253,403  

S&P 500 E-Mini Index

     06/23        11        2,164,251        2,275,763        111,512  
              

 

 

 

Total Futures Contracts

                 $364,915  
              

 

 

 

 

(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $818,379,282        $818,379,282        $-        $-  
 

Exchange-Traded Fund

     8,558,636        8,558,636        -        -  
 

Short-Term Investment

     4,888,198        -        4,888,198        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     364,915        364,915        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $832,191,031        $827,302,833        $4,888,198        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

239

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.3%

 

Basic Materials - 3.5%

 

Air Products & Chemicals, Inc.

    11,633       $3,341,114  

Albemarle Corp.

    2,949       651,847  

Alcoa Corp.

    9,183       390,829  

Ashland, Inc.

    2,749       282,350  

Axalta Coating Systems Ltd. *

    8,682       262,978  

Celanese Corp.

    5,626       612,615  

Chemours Co.

    2,836       84,910  

Cleveland-Cliffs, Inc. *

    26,545       486,570  

Dow, Inc.

    37,153       2,036,727  

DuPont de Nemours, Inc.

    24,259       1,741,068  

Eastman Chemical Co.

    6,213       524,004  

Ecolab, Inc.

    1,559       258,061  

Element Solutions, Inc.

    11,900       229,789  

FMC Corp.

    4,306       525,892  

Freeport-McMoRan, Inc.

    74,879       3,063,300  

Huntsman Corp.

    9,469       259,072  

International Flavors & Fragrances, Inc.

    13,576       1,248,449  

International Paper Co.

    18,451       665,343  

Linde PLC

    20,509       7,289,719  

LyondellBasell Industries NV Class A

    13,678       1,284,227  

Mosaic Co.

    15,495       710,911  

NewMarket Corp.

    317       115,699  

Newmont Corp.

    41,874       2,052,664  

Nucor Corp.

    13,515       2,087,662  

Olin Corp.

    6,445       357,698  

PPG Industries, Inc.

    5,742       767,016  

Reliance Steel & Aluminum Co.

    3,034       778,949  

Royal Gold, Inc.

    3,209       416,239  

RPM International, Inc.

    6,292       548,914  

Southern Copper Corp. (Mexico)

    1,757       133,971  

SSR Mining, Inc. (Canada)

    11,736       177,448  

Steel Dynamics, Inc.

    8,649       977,856  

United States Steel Corp.

    11,705       305,501  

Westlake Corp.

    1,787       207,256  
   

 

 

 
    34,876,648  
   

 

 

 

Communications - 10.1%

 

Alphabet, Inc. Class A *

    41,091       4,262,369  

Alphabet, Inc. Class C *

    35,734       3,716,336  

Altice USA, Inc. Class A *

    9,681       33,109  

AT&T, Inc.

    376,220       7,242,235  

Cable One, Inc.

    101       70,902  

Ciena Corp. *

    7,654       401,988  

Cisco Systems, Inc.

    215,944       11,288,473  

Comcast Corp. Class A

    219,810       8,332,997  

Corning, Inc.

    36,814       1,298,798  

DISH Network Corp. Class A *

    12,609       117,642  

DoorDash, Inc. Class A *

    1,330       84,535  

eBay, Inc.

    24,545       1,089,062  

F5, Inc. *

    3,093       450,619  

Fox Corp. Class A

    15,154       515,994  

Fox Corp. Class B

    7,604       238,081  

Frontier Communications Parent, Inc. *

    12,722       289,680  

Gen Digital, Inc.

    18,495       317,374  

GoDaddy, Inc. Class A *

    7,007       544,584  

IAC, Inc. *

    4,313       222,551  

Interpublic Group of Cos., Inc.

    20,158       750,684  

Juniper Networks, Inc.

    16,601       571,406  

Liberty Broadband Corp. Class A *

    516       42,374  

Liberty Broadband Corp. Class C *

    3,314       270,754  

Liberty Media Corp. - Liberty Formula One Class A *

    1,241       83,767  

Liberty Media Corp. - Liberty Formula One Class C *

    9,257       692,701  

Liberty Media Corp. - Liberty SiriusXM Class A *

    3,543       99,523  

Liberty Media Corp. - Liberty SiriusXM Class C *

    6,209       173,790  
   

Shares

   

Value

 

Lumen Technologies, Inc.

    59,327       $157,216  

Lyft, Inc. Class A *

    2,837       26,299  

Match Group, Inc. *

    831       31,902  

Meta Platforms, Inc. Class A *

    92,023       19,503,355  

Motorola Solutions, Inc.

    8,661       2,478,172  

Netflix, Inc. *

    12,629       4,363,067  

New York Times Co. Class A

    8,436       327,992  

News Corp. Class A

    19,732       340,772  

News Corp. Class B

    5,501       95,882  

Nexstar Media Group, Inc.

    1,711       295,421  

Okta, Inc. *

    6,790       585,570  

Omnicom Group, Inc.

    10,415       982,551  

Opendoor Technologies, Inc. *

    16,826       29,614  

Paramount Global Class A

    1,569       40,543  

Paramount Global Class B

    29,961       668,430  

Pinterest, Inc. Class A *

    24,347       663,943  

Robinhood Markets, Inc. Class A *

    29,679       288,183  

Roku, Inc. *

    4,535       298,494  

Sirius XM Holdings, Inc.

    40,400       160,388  

T-Mobile US, Inc. *

    30,814       4,463,100  

TripAdvisor, Inc. *

    4,343       86,252  

Uber Technologies, Inc. *

    13,372       423,892  

Ubiquiti, Inc.

    210       57,055  

VeriSign, Inc. *

    4,448       939,996  

Verizon Communications, Inc.

    220,856       8,589,090  

Viasat, Inc. *

    3,959       133,972  

Walt Disney Co. *

    89,329       8,944,513  

Warner Bros Discovery, Inc. *

    32,605       492,335  

Wayfair, Inc. Class A *

    1,508       51,785  

Wix.com Ltd. * (Israel)

    552       55,090  

Zillow Group, Inc. Class A *

    2,529       110,517  

Zillow Group, Inc. Class C *

    7,799       346,821  
   

 

 

 
    99,234,540  
   

 

 

 

Consumer, Cyclical - 8.0%

 

Advance Auto Parts, Inc.

    2,834       344,643  

Alaska Air Group, Inc. *

    6,499       272,698  

Allison Transmission Holdings, Inc.

    817       36,961  

AMC Entertainment Holdings, Inc. Class A *

    30,513       152,870  

American Airlines Group, Inc. *

    33,551       494,877  

Aptiv PLC *

    10,779       1,209,296  

Aramark

    12,216       437,333  

AutoNation, Inc. *

    1,794       241,042  

AutoZone, Inc. *

    96       235,982  

Bath & Body Works, Inc.

    11,885       434,753  

Best Buy Co., Inc.

    7,056       552,273  

BJ’s Wholesale Club Holdings, Inc. *

    2,651       201,662  

BorgWarner, Inc.

    12,123       595,361  

Boyd Gaming Corp.

    4,174       267,637  

Brunswick Corp.

    3,100       254,200  

Burlington Stores, Inc. *

    158       31,932  

Caesars Entertainment, Inc. *

    3,493       170,493  

Capri Holdings Ltd. *

    6,533       307,051  

CarMax, Inc. *

    7,250       466,030  

Carnival Corp. *

    50,679       514,392  

Carter’s, Inc.

    1,865       134,131  

Casey’s General Stores, Inc.

    1,925       416,686  

Columbia Sportswear Co.

    1,979       178,585  

Copa Holdings SA Class A * (Panama)

    1,444       133,353  

Core & Main, Inc. Class A *

    1,979       45,715  

Cummins, Inc.

    7,446       1,778,701  

Darden Restaurants, Inc.

    1,743       270,444  

Deckers Outdoor Corp. *

    146       65,634  

Dick’s Sporting Goods, Inc.

    2,761       391,758  

Dolby Laboratories, Inc. Class A

    3,236       276,419  

Dollar Tree, Inc. *

    7,485       1,074,472  

Domino’s Pizza, Inc.

    535       176,480  

DR Horton, Inc.

    7,803       762,275  

Ford Motor Co.

    207,374       2,612,912  

Freshpet, Inc. *

    928       61,424  

GameStop Corp. Class A *

    14,146       325,641  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

240

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Gap, Inc.

    9,067       $91,033  

General Motors Co.

    73,146       2,682,995  

Gentex Corp.

    12,204       342,078  

Genuine Parts Co.

    6,629       1,109,098  

Hanesbrands, Inc.

    16,128       84,833  

Harley-Davidson, Inc.

    6,988       265,334  

Hasbro, Inc.

    6,825       366,434  

Hilton Worldwide Holdings, Inc.

    3,778       532,207  

Home Depot, Inc.

    22,491       6,637,544  

Hyatt Hotels Corp. Class A *

    2,472       276,345  

JetBlue Airways Corp. *

    18,225       132,678  

Kohl’s Corp.

    5,646       132,907  

Las Vegas Sands Corp. *

    10,775       619,024  

Lear Corp.

    3,056       426,281  

Leggett & Platt, Inc.

    6,911       220,323  

Lennar Corp. Class A

    13,296       1,397,543  

Lennar Corp. Class B

    706       63,053  

Leslie’s, Inc. *

    436       4,800  

Lithia Motors, Inc.

    1,449       331,720  

Live Nation Entertainment, Inc. *

    4,051       283,570  

LKQ Corp.

    12,986       737,085  

Lowe’s Cos., Inc.

    4,310       861,871  

Lucid Group, Inc. *

    1,501       12,068  

Macy’s, Inc.

    14,631       255,896  

Madison Square Garden Sports Corp.

    554       107,947  

Marriott Vacations Worldwide Corp.

    1,942       261,898  

Mattel, Inc. *

    10,142       186,714  

McDonald’s Corp.

    29,396       8,219,416  

MGM Resorts International

    16,449       730,665  

MSC Industrial Direct Co., Inc. Class A

    2,400       201,600  

Newell Brands, Inc.

    20,687       257,346  

Nordstrom, Inc.

    609       9,908  

Norwegian Cruise Line Holdings Ltd. *

    20,892       280,997  

NVR, Inc. *

    45       250,749  

O’Reilly Automotive, Inc. *

    1,943       1,649,568  

Ollie’s Bargain Outlet Holdings, Inc. *

    2,965       171,792  

PACCAR, Inc.

    26,994       1,975,961  

Peloton Interactive, Inc. Class A *

    16,300       184,842  

Penn Entertainment, Inc. *

    8,075       239,505  

Penske Automotive Group, Inc.

    1,387       196,690  

Petco Health & Wellness Co., Inc. *

    4,181       37,629  

Planet Fitness, Inc. Class A *

    1,192       92,583  

Polaris, Inc.

    896       99,124  

PulteGroup, Inc.

    7,171       417,926  

PVH Corp.

    3,520       313,843  

QuantumScape Corp. *

    15,218       124,483  

Ralph Lauren Corp.

    2,106       245,707  

RH *

    617       150,270  

Rivian Automotive, Inc. Class A *

    26,997       417,914  

Ross Stores, Inc.

    10,204       1,082,951  

Royal Caribbean Cruises Ltd. *

    11,443       747,228  

Scotts Miracle-Gro Co.

    1,606       112,002  

SiteOne Landscape Supply, Inc. *

    981       134,269  

Six Flags Entertainment Corp. *

    2,349       62,742  

Skechers USA, Inc. Class A *

    5,971       283,742  

Southwest Airlines Co.

    30,769       1,001,223  

Starbucks Corp.

    38,563       4,015,565  

Tapestry, Inc.

    10,611       457,440  

Target Corp.

    10,988       1,819,942  

Tempur Sealy International, Inc.

    8,655       341,786  

Thor Industries, Inc.

    2,794       222,514  

Toll Brothers, Inc.

    2,821       169,345  

Travel & Leisure Co.

    1,427       55,938  

Under Armour, Inc. Class A *

    9,235       87,640  

Under Armour, Inc. Class C *

    9,903       84,473  

United Airlines Holdings, Inc. *

    16,945       749,816  

Univar Solutions, Inc. *

    8,352       292,571  

Vail Resorts, Inc.

    110       25,705  

VF Corp.

    18,161       416,069  

Victoria’s Secret, Inc. *

    948       32,374  

Walgreens Boots Alliance, Inc.

    38,120       1,318,190  

Walmart, Inc.

    74,690       11,013,041  
   

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Value

 

Watsco, Inc.

    810       $ 257,710  

WESCO International, Inc.

    1,161       179,421  

Whirlpool Corp.

    2,798       369,392  

Williams-Sonoma, Inc.

    843       102,559  

Wyndham Hotels & Resorts, Inc.

    1,561       105,914  

Wynn Resorts Ltd. *

    4,732       529,558  

Yum! Brands, Inc.

    13,186       1,741,607  
   

 

 

 
    78,430,640  
   

 

 

 

Consumer, Non-Cyclical - 24.2%

 

10X Genomics, Inc. Class A *

    611       34,088  

Abbott Laboratories

    78,211       7,919,646  

Acadia Healthcare Co., Inc. *

    4,626       334,228  

ADT, Inc.

    13,022       94,149  

Affirm Holdings, Inc. *

    10,454       117,817  

agilon health, Inc. *

    1,043       24,771  

Albertsons Cos., Inc. Class A

    12,105       251,542  

Align Technology, Inc. *

    1,019       340,489  

Altria Group, Inc.

    94,204       4,203,382  

Amedisys, Inc. *

    1,860       136,803  

Amgen, Inc.

    4,443       1,074,095  

Archer-Daniels-Midland Co.

    28,793       2,293,650  

Automatic Data Processing, Inc.

    1,781       396,504  

Avantor, Inc. *

    2,004       42,365  

Avery Dennison Corp.

    1,628       291,298  

Avis Budget Group, Inc. *

    1,340       261,032  

Azenta, Inc. *

    3,427       152,913  

Baxter International, Inc.

    22,812       925,255  

Becton Dickinson & Co.

    14,919       3,693,049  

Bio-Rad Laboratories, Inc. Class A *

    1,111       532,191  

Biogen, Inc. *

    7,553       2,099,961  

BioMarin Pharmaceutical, Inc. *

    9,587       932,240  

Block, Inc. *

    28,234       1,938,264  

Boston Scientific Corp. *

    74,972       3,750,849  

Bright Horizons Family Solutions, Inc. *

    2,311       177,924  

Bristol-Myers Squibb Co.

    111,910       7,756,482  

Brown-Forman Corp. Class A

    867       56,520  

Brown-Forman Corp. Class B

    3,945       253,545  

Bunge Ltd.

    7,186       686,407  

Campbell Soup Co.

    10,070       553,649  

Cardinal Health, Inc.

    13,387       1,010,718  

Catalent, Inc. *

    6,330       415,944  

Centene Corp. *

    28,910       1,827,401  

Certara, Inc. *

    2,118       51,065  

Charles River Laboratories International, Inc. *

    228       46,015  

Chemed Corp.

    489       262,960  

Church & Dwight Co., Inc.

    6,901       610,117  

Cigna Group

    12,948       3,308,602  

Cintas Corp.

    332       153,610  

Clarivate PLC *

    25,602       240,403  

Clorox Co.

    1,041       164,728  

Coca-Cola Co.

    51,293       3,181,705  

Colgate-Palmolive Co.

    16,956       1,274,243  

Conagra Brands, Inc.

    24,456       918,567  

Constellation Brands, Inc. Class A

    8,005       1,808,249  

Cooper Cos., Inc.

    2,524       942,361  

Corteva, Inc.

    37,663       2,271,456  

CoStar Group, Inc. *

    18,372       1,264,912  

Coty, Inc. Class A *

    18,355       221,361  

CVS Health Corp.

    67,451       5,012,284  

Danaher Corp.

    31,702       7,990,172  

Darling Ingredients, Inc. *

    7,738       451,899  

Dentsply Sirona, Inc.

    11,246       441,743  

Driven Brands Holdings, Inc. *

    2,917       88,414  

Dun & Bradstreet Holdings, Inc.

    14,117       165,734  

Elanco Animal Health, Inc. *

    24,180       227,292  

Elevance Health, Inc.

    8,815       4,053,225  

Eli Lilly & Co.

    8,235       2,828,064  

Encompass Health Corp.

    5,087       275,207  

Enhabit, Inc. *

    2,266       31,520  

Enovis Corp. *

    2,526       135,116  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

241

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

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Value

 

Envista Holdings Corp. *

    8,651       $353,653  

Equifax, Inc.

    3,158       640,569  

Euronet Worldwide, Inc. *

    763       85,380  

Exact Sciences Corp. *

    7,437       504,303  

Exelixis, Inc. *

    3,137       60,889  

Flowers Foods, Inc.

    9,736       266,864  

FTI Consulting, Inc. *

    1,045       206,231  

GE HealthCare Technologies, Inc. *

    18,284       1,499,837  

General Mills, Inc.

    31,001       2,649,345  

Gilead Sciences, Inc.

    65,961       5,472,784  

Ginkgo Bioworks Holdings, Inc. *

    30,305       40,306  

Global Payments, Inc.

    13,847       1,457,258  

Globus Medical, Inc. Class A *

    3,872       219,310  

Grand Canyon Education, Inc. *

    1,725       196,477  

Grocery Outlet Holding Corp. *

    3,952       111,684  

GXO Logistics, Inc. *

    4,964       250,483  

H&R Block, Inc.

    1,583       55,801  

HCA Healthcare, Inc.

    10,645       2,806,874  

Henry Schein, Inc. *

    7,023       572,655  

Hershey Co.

    1,055       268,403  

Hertz Global Holdings, Inc. *

    8,823       143,727  

Hologic, Inc. *

    12,635       1,019,644  

Horizon Therapeutics PLC *

    728       79,454  

Hormel Foods Corp.

    14,894       593,973  

Humana, Inc.

    1,933       938,394  

ICU Medical, Inc. *

    936       154,403  

Illumina, Inc. *

    8,291       1,928,072  

Incyte Corp. *

    1,296       93,662  

Ingredion, Inc.

    3,405       346,391  

Integra LifeSciences Holdings Corp. *

    3,774       216,665  

Intuitive Surgical, Inc. *

    1,447       369,665  

Ionis Pharmaceuticals, Inc. *

    389       13,903  

J M Smucker Co.

    5,537       871,358  

Jazz Pharmaceuticals PLC *

    3,198       467,963  

Johnson & Johnson

    138,293       21,435,415  

Kellogg Co.

    5,987       400,890  

Keurig Dr Pepper, Inc.

    45,356       1,600,160  

Kimberly-Clark Corp.

    7,119       955,512  

Kraft Heinz Co.

    37,051       1,432,762  

Kroger Co.

    34,662       1,711,263  

Laboratory Corp. of America Holdings

    4,601       1,055,561  

ManpowerGroup, Inc.

    2,797       230,836  

Masimo Corp. *

    638       117,737  

McCormick & Co., Inc.

    13,024       1,083,727  

McKesson Corp.

    5,810       2,068,650  

Medtronic PLC

    70,233       5,662,184  

Merck & Co., Inc.

    77,232       8,216,712  

Mirati Therapeutics, Inc. *

    2,627       97,672  

Mister Car Wash, Inc. *

    1,318       11,361  

Moderna, Inc. *

    16,403       2,519,173  

Molina Healthcare, Inc. *

    706       188,848  

Molson Coors Beverage Co. Class B

    9,093       469,926  

Mondelez International, Inc. Class A

    71,641       4,994,811  

Monster Beverage Corp. *

    3,128       168,943  

Moody’s Corp.

    479       146,584  

Morningstar, Inc.

    147       29,845  

Natera, Inc. *

    190       10,549  

Oak Street Health, Inc. *

    6,164       238,424  

Organon & Co.

    13,446       316,250  

PayPal Holdings, Inc. *

    41,442       3,147,105  

PepsiCo, Inc.

    11,302       2,060,355  

Performance Food Group Co. *

    5,459       329,396  

PerkinElmer, Inc.

    6,553       873,253  

Perrigo Co. PLC

    7,434       266,658  

Pfizer, Inc.

    296,994       12,117,355  

Philip Morris International, Inc.

    81,425       7,918,581  

Pilgrim’s Pride Corp. *

    1,067       24,733  

Post Holdings, Inc. *

    3,015       270,958  

Premier, Inc. Class A

    6,503       210,502  

Procter & Gamble Co.

    71,198       10,586,431  

QIAGEN NV *

    11,783       541,193  

Quanta Services, Inc.

    3,356       559,244  
   

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Value

 

Quest Diagnostics, Inc.

    5,747       $ 813,086  

QuidelOrtho Corp. *

    2,610       232,525  

Regeneron Pharmaceuticals, Inc. *

    4,651       3,821,587  

Repligen Corp. *

    898       151,187  

Reynolds Consumer Products, Inc.

    2,762       75,955  

Ritchie Bros Auctioneers, Inc. (Canada)

    556       31,297  

Robert Half International, Inc.

    741       59,702  

Rollins, Inc.

    632       23,719  

Royalty Pharma PLC Class A

    19,322       696,172  

S&P Global, Inc.

    16,907       5,829,026  

Seaboard Corp.

    11       41,470  

Service Corp. International

    7,770       534,421  

Spectrum Brands Holdings, Inc.

    2,270       150,319  

STERIS PLC

    5,185       991,787  

Stryker Corp.

    8,597       2,454,186  

Syneos Health, Inc. *

    4,805       171,154  

Tandem Diabetes Care, Inc. *

    125       5,076  

Teladoc Health, Inc. *

    7,906       204,765  

Teleflex, Inc.

    2,437       617,316  

Tenet Healthcare Corp. *

    5,521       328,058  

Thermo Fisher Scientific, Inc.

    18,052       10,404,631  

TransUnion

    2,825       175,545  

Tyson Foods, Inc. Class A

    14,926       885,410  

U-Haul Holding Co.

    4,609       242,120  

Ultragenyx Pharmaceutical, Inc. *

    546       21,895  

United Rentals, Inc.

    1,963       776,877  

United Therapeutics Corp. *

    2,317       518,915  

UnitedHealth Group, Inc.

    4,437       2,096,882  

Universal Health Services, Inc. Class B

    3,223       409,643  

US Foods Holding Corp. *

    10,483       387,242  

Vertex Pharmaceuticals, Inc. *

    757       238,508  

Viatris, Inc.

    62,952       605,598  

WEX, Inc. *

    516       94,887  

WillScot Mobile Mini Holdings Corp. *

    5,294       248,183  

Zimmer Biomet Holdings, Inc.

    11,123       1,437,092  
   

 

 

 
    237,802,370  
   

 

 

 

Energy - 8.0%

 

Antero Midstream Corp.

    17,817       186,900  

Antero Resources Corp. *

    4,747       109,608  

APA Corp.

    16,643       600,147  

Baker Hughes Co.

    49,959       1,441,817  

Cheniere Energy, Inc.

    5,497       866,327  

Chesapeake Energy Corp.

    6,291       478,368  

Chevron Corp.

    101,628       16,581,624  

ConocoPhillips

    64,328       6,381,981  

Coterra Energy, Inc.

    35,317       866,679  

Devon Energy Corp.

    17,869       904,350  

Diamondback Energy, Inc.

    3,991       539,463  

DTE Midstream LLC *

    5,034       248,529  

EOG Resources, Inc.

    8,450       968,623  

EQT Corp.

    19,145       610,917  

Exxon Mobil Corp.

    216,546       23,746,434  

First Solar, Inc. *

    5,519       1,200,382  

Halliburton Co.

    25,537       807,991  

Hess Corp.

    3,175       420,180  

HF Sinclair Corp.

    7,007       338,999  

Kinder Morgan, Inc.

    104,964       1,837,920  

Marathon Oil Corp.

    32,890       788,044  

Marathon Petroleum Corp.

    23,812       3,210,572  

NOV, Inc.

    20,499       379,436  

Occidental Petroleum Corp.

    7,180       448,247  

ONEOK, Inc.

    20,951       1,331,227  

Ovintiv, Inc.

    3,444       124,260  

PDC Energy, Inc.

    2,031       130,350  

Phillips 66

    24,513       2,485,128  

Pioneer Natural Resources Co.

    5,560       1,135,574  

Plug Power, Inc. *

    14,417       168,967  

Range Resources Corp.

    4,137       109,506  

Schlumberger NV

    74,212       3,643,809  

Southwestern Energy Co. *

    53,662       268,310  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

242

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

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Value

 

Sunrun, Inc. *

    11,750       $236,763  

Valero Energy Corp.

    19,586       2,734,206  

Vitesse Energy, Inc.

    2,785       52,999  

Williams Cos., Inc.

    64,269       1,919,072  
   

 

 

 
    78,303,709  
   

 

 

 

Financial - 22.2%

 

Affiliated Managers Group, Inc.

    2,027       288,685  

Aflac, Inc.

    32,154       2,074,576  

AGNC Investment Corp. REIT

    29,635       298,721  

Air Lease Corp.

    5,661       222,874  

Alexandria Real Estate Equities, Inc. REIT

    8,926       1,121,016  

Allstate Corp.

    13,998       1,551,118  

Ally Financial, Inc.

    15,500       395,095  

American Express Co.

    29,293       4,831,880  

American Financial Group, Inc.

    3,495       424,642  

American Homes 4 Rent Class A REIT

    15,989       502,854  

American International Group, Inc.

    38,636       1,945,709  

American Tower Corp. REIT

    5,759       1,176,794  

Americold Realty Trust, Inc. REIT

    13,962       397,219  

Ameriprise Financial, Inc.

    1,978       606,257  

Annaly Capital Management, Inc. REIT

    24,280       463,991  

Aon PLC Class A

    662       208,722  

Apartment Income REIT Corp. REIT

    7,146       255,898  

Apollo Global Management, Inc.

    5,980       377,697  

Arch Capital Group Ltd. *

    12,421       843,013  

Arthur J Gallagher & Co.

    9,732       1,861,829  

Assurant, Inc.

    2,336       280,484  

Assured Guaranty Ltd.

    2,613       131,355  

AvalonBay Communities, Inc. REIT

    7,428       1,248,350  

Axis Capital Holdings Ltd.

    4,042       220,370  

Bank of America Corp.

    369,059       10,555,087  

Bank of Hawaii Corp.

    2,332       121,451  

Bank of New York Mellon Corp.

    38,817       1,763,844  

Bank OZK

    6,141       210,022  

Berkshire Hathaway, Inc. Class B *

    94,801       29,271,705  

BlackRock, Inc.

    7,793       5,214,452  

BOK Financial Corp.

    1,685       142,231  

Boston Properties, Inc. REIT

    8,142       440,645  

Brighthouse Financial, Inc. *

    3,729       164,486  

Brixmor Property Group, Inc. REIT

    15,877       341,673  

Brown & Brown, Inc.

    11,348       651,602  

Camden Property Trust REIT

    4,933       517,176  

Capital One Financial Corp.

    20,096       1,932,431  

Carlyle Group, Inc.

    10,754       334,019  

Cboe Global Markets, Inc.

    5,499       738,186  

CBRE Group, Inc. Class A *

    8,385       610,512  

Charles Schwab Corp.

    35,665       1,868,133  

Chubb Ltd.

    21,837       4,240,309  

Cincinnati Financial Corp.

    8,227       922,082  

Citigroup, Inc.

    101,715       4,769,416  

Citizens Financial Group, Inc.

    25,368       770,426  

CME Group, Inc.

    18,843       3,608,811  

CNA Financial Corp.

    1,353       52,808  

Coinbase Global, Inc. Class A *

    8,295       560,493  

Columbia Banking System, Inc.

    10,968       234,935  

Comerica, Inc.

    6,839       296,949  

Commerce Bancshares, Inc.

    5,905       344,557  

Cousins Properties, Inc. REIT

    7,980       170,612  

Credit Acceptance Corp. *

    345       150,434  

CubeSmart REIT

    11,611       536,660  

Cullen/Frost Bankers, Inc.

    3,037       319,918  

Digital Realty Trust, Inc. REIT

    15,181       1,492,444  

Discover Financial Services

    14,157       1,399,278  

Douglas Emmett, Inc. REIT

    9,714       119,774  

East West Bancorp, Inc.

    7,346       407,703  

EastGroup Properties, Inc. REIT

    2,137       353,289  

EPR Properties REIT

    4,046       154,153  

Equinix, Inc. REIT

    1,221       880,390  

Equitable Holdings, Inc.

    19,147       486,142  

Equity LifeStyle Properties, Inc. REIT

    3,597       241,467  
   

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Value

 

Equity Residential REIT

    19,720       $ 1,183,200  

Erie Indemnity Co. Class A

    411       95,212  

Essex Property Trust, Inc. REIT

    3,339       698,318  

Evercore, Inc. Class A

    1,715       197,877  

Everest Re Group Ltd.

    1,397       500,154  

Extra Space Storage, Inc. REIT

    6,065       988,170  

F&G Annuities & Life, Inc.

    881       15,964  

Federal Realty Investment Trust REIT

    4,169       412,022  

Fidelity National Financial, Inc.

    13,493       471,310  

Fifth Third Bancorp

    35,400       943,056  

First American Financial Corp.

    4,796       266,945  

First Citizens BancShares, Inc. Class A

    438       426,218  

First Hawaiian, Inc.

    7,045       145,338  

First Horizon Corp.

    27,488       488,737  

First Industrial Realty Trust, Inc. REIT

    6,849       364,367  

First Republic Bank

    9,626       134,668  

FNB Corp.

    18,590       215,644  

Franklin Resources, Inc.

    14,822       399,305  

Gaming & Leisure Properties, Inc. REIT

    12,683       660,277  

Globe Life, Inc.

    4,645       511,043  

Goldman Sachs Group, Inc.

    17,234       5,637,414  

Hanover Insurance Group, Inc.

    1,839       236,311  

Hartford Financial Services Group, Inc.

    16,916       1,178,876  

Healthcare Realty Trust, Inc. REIT

    19,695       380,704  

Healthpeak Properties, Inc. REIT

    28,389       623,706  

Highwoods Properties, Inc. REIT

    5,969       138,421  

Host Hotels & Resorts, Inc. REIT

    36,775       606,420  

Howard Hughes Corp. *

    1,869       149,520  

Hudson Pacific Properties, Inc. REIT

    6,675       44,389  

Huntington Bancshares, Inc.

    74,561       835,083  

Interactive Brokers Group, Inc. Class A

    4,823       398,187  

Intercontinental Exchange, Inc.

    28,992       3,023,576  

Invesco Ltd.

    19,396       318,094  

Invitation Homes, Inc. REIT

    31,706       990,178  

Iron Mountain, Inc. REIT

    3,881       205,344  

Janus Henderson Group PLC

    6,375       169,830  

JBG SMITH Properties REIT

    5,503       82,875  

Jefferies Financial Group, Inc.

    10,540       334,540  

Jones Lang LaSalle, Inc. *

    2,480       360,815  

JPMorgan Chase & Co.

    153,270       19,972,614  

Kemper Corp.

    3,299       180,323  

KeyCorp

    48,274       604,390  

Kilroy Realty Corp. REIT

    5,709       184,972  

Kimco Realty Corp. REIT

    31,377       612,793  

KKR & Co., Inc.

    30,288       1,590,726  

Lamar Advertising Co. Class A REIT

    622       62,132  

Lazard Ltd. Class A

    4,714       156,081  

Life Storage, Inc. REIT

    4,370       572,863  

Lincoln National Corp.

    7,517       168,907  

Loews Corp.

    10,101       586,060  

M&T Bank Corp.

    8,932       1,067,999  

Macerich Co. REIT

    1       11  

Markel Corp. *

    529       675,750  

Marsh & McLennan Cos., Inc.

    2,756       459,012  

Medical Properties Trust, Inc. REIT

    31,656       260,212  

MetLife, Inc.

    34,850       2,019,209  

MGIC Investment Corp.

    14,368       192,819  

Mid-America Apartment Communities, Inc. REIT

    5,965       900,954  

Morgan Stanley

    64,781       5,687,772  

Nasdaq, Inc.

    17,864       976,625  

National Retail Properties, Inc. REIT

    9,401       415,054  

National Storage Affiliates Trust REIT

    4,584       191,520  

New York Community Bancorp, Inc.

    34,768       314,303  

Northern Trust Corp.

    10,679       941,140  

Old Republic International Corp.

    14,503       362,140  

Omega Healthcare Investors, Inc. REIT

    12,207       334,594  

OneMain Holdings, Inc.

    6,387       236,830  

PacWest Bancorp

    5,223       50,820  

Park Hotels & Resorts, Inc. REIT

    10,959       135,453  

Pinnacle Financial Partners, Inc.

    4,194       231,341  

PNC Financial Services Group, Inc.

    21,157       2,689,055  

Popular, Inc.

    3,708       212,876  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

243

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Primerica, Inc.

    1,937       $333,629  

Principal Financial Group, Inc.

    12,580       934,946  

Progressive Corp.

    3,947       564,658  

Prologis, Inc. REIT

    48,370       6,035,125  

Prosperity Bancshares, Inc.

    4,548       279,793  

Prudential Financial, Inc.

    19,135       1,583,230  

Public Storage REIT

    1,674       505,782  

Raymond James Financial, Inc.

    9,616       896,884  

Rayonier, Inc. REIT

    7,907       262,987  

Realty Income Corp. REIT

    33,061       2,093,422  

Regency Centers Corp. REIT

    8,902       544,624  

Regions Financial Corp.

    48,562       901,311  

Reinsurance Group of America, Inc.

    3,471       460,810  

RenaissanceRe Holdings Ltd. (Bermuda)

    1,060       212,360  

Rexford Industrial Realty, Inc. REIT

    10,156       605,805  

Rithm Capital Corp. REIT

    23,318       186,544  

Rocket Cos., Inc. Class A *

    3,602       32,634  

SBA Communications Corp. REIT

    4,278       1,116,857  

SEI Investments Co.

    5,342       307,432  

Simon Property Group, Inc. REIT

    8,729       977,386  

SL Green Realty Corp. REIT

    3,048       71,689  

SLM Corp.

    11,182       138,545  

SoFi Technologies, Inc. *

    41,866       254,127  

Spirit Realty Capital, Inc. REIT

    7,228       287,963  

Starwood Property Trust, Inc. REIT

    14,206       251,304  

State Street Corp.

    18,123       1,371,730  

Stifel Financial Corp.

    5,518       326,059  

Sun Communities, Inc. REIT

    6,526       919,383  

Synchrony Financial

    22,626       657,964  

Synovus Financial Corp.

    7,677       236,682  

T Rowe Price Group, Inc.

    11,431       1,290,560  

TFS Financial Corp.

    3,338       42,159  

Tradeweb Markets, Inc. Class A

    2,226       175,899  

Travelers Cos., Inc.

    12,329       2,113,314  

Truist Financial Corp.

    70,030       2,388,023  

UDR, Inc. REIT

    17,030       699,252  

Unum Group

    10,293       407,191  

Upstart Holdings, Inc. *

    2,747       43,650  

US Bancorp

    72,743       2,622,385  

UWM Holdings Corp.

    2,320       11,391  

Ventas, Inc. REIT

    20,743       899,209  

VICI Properties, Inc. REIT

    52,979       1,728,175  

Virtu Financial, Inc. Class A

    5,096       96,314  

Vornado Realty Trust REIT

    8,797       135,210  

Voya Financial, Inc.

    5,056       361,302  

W R Berkley Corp.

    10,695       665,871  

Webster Financial Corp.

    8,977       353,873  

Wells Fargo & Co.

    201,568       7,534,612  

Welltower, Inc. REIT

    24,983       1,791,031  

Western Alliance Bancorp

    1,868       66,389  

Western Union Co.

    12,864       143,434  

WeWork, Inc. Class A *

    6,014       4,675  

Weyerhaeuser Co. REIT

    39,178       1,180,433  

White Mountains Insurance Group Ltd.

    133       183,206  

Willis Towers Watson PLC

    5,593       1,299,701  

Wintrust Financial Corp.

    3,244       236,650  

WP Carey, Inc. REIT

    11,201       867,517  

Zions Bancorp NA

    8,084       241,954  
   

 

 

 
    217,934,357  
   

 

 

 

Industrial - 10.1%

 

3M Co.

    28,965       3,044,511  

Acuity Brands, Inc.

    1,707       311,920  

AECOM

    6,423       541,587  

AGCO Corp.

    2,799       378,425  

Agilent Technologies, Inc.

    1,673       231,443  

Allegion PLC

    1,009       107,691  

Amcor PLC

    79,624       906,121  

AMETEK, Inc.

    12,177       1,769,683  

Amphenol Corp. Class A

    7,486       611,756  

AO Smith Corp.

    4,932       341,048  
   

Shares

   

Value

 

AptarGroup, Inc.

    3,452       $ 407,992  

Ardagh Group SA * W

    291       1,944  

Ardagh Metal Packaging SA

    4,387       17,899  

Armstrong World Industries, Inc.

    1,232       87,768  

Arrow Electronics, Inc. *

    2,959       369,490  

Avnet, Inc.

    4,724       213,525  

Axon Enterprise, Inc. *

    836       187,975  

AZEK Co., Inc. *

    6,521       153,504  

Ball Corp.

    9,645       531,536  

Berry Global Group, Inc.

    3,120       183,768  

Boeing Co. *

    20,061       4,261,558  

Builders FirstSource, Inc. *

    7,554       670,644  

BWX Technologies, Inc.

    3,022       190,507  

Carlisle Cos., Inc.

    374       84,550  

Carrier Global Corp.

    44,060       2,015,745  

Caterpillar, Inc.

    3,491       798,881  

CH Robinson Worldwide, Inc.

    4,407       437,924  

Clean Harbors, Inc. *

    2,648       377,499  

Cognex Corp.

    569       28,194  

Coherent Corp. *

    4,940       188,115  

Crane Co.

    2,469       280,232  

Crown Holdings, Inc.

    650       53,762  

CSX Corp.

    82,650       2,474,541  

Curtiss-Wright Corp.

    1,989       350,581  

Donaldson Co., Inc.

    5,318       347,478  

Dover Corp.

    7,278       1,105,819  

Eagle Materials, Inc.

    308       45,199  

Eaton Corp. PLC

    20,971       3,593,171  

Emerson Electric Co.

    20,455       1,782,449  

Esab Corp.

    3,119       184,239  

Expeditors International of Washington, Inc.

    5,695       627,133  

FedEx Corp.

    12,282       2,806,314  

Flowserve Corp.

    7,016       238,544  

Fortive Corp.

    18,830       1,283,641  

Fortune Brands Innovations, Inc.

    4,447       261,172  

Garmin Ltd.

    8,009       808,268  

Gates Industrial Corp. PLC *

    5,996       83,284  

General Dynamics Corp.

    12,780       2,916,524  

General Electric Co.

    53,758       5,139,265  

Graco, Inc.

    2,848       207,933  

Graphic Packaging Holding Co.

    3,241       82,613  

Hayward Holdings, Inc. *

    4,006       46,950  

HEICO Corp.

    131       22,406  

HEICO Corp. Class A

    230       31,257  

Hexcel Corp.

    4,353       297,092  

Honeywell International, Inc.

    25,002       4,778,382  

Howmet Aerospace, Inc.

    17,390       736,814  

Hubbell, Inc.

    2,782       676,888  

Huntington Ingalls Industries, Inc.

    1,595       330,197  

IDEX Corp.

    3,244       749,461  

Illinois Tool Works, Inc.

    1,605       390,737  

Ingersoll Rand, Inc.

    21,631       1,258,492  

ITT, Inc.

    4,336       374,197  

Jabil, Inc.

    1,402       123,600  

Jacobs Solutions, Inc.

    6,541       768,633  

JB Hunt Transport Services, Inc.

    458       80,361  

Johnson Controls International PLC

    36,277       2,184,601  

Keysight Technologies, Inc. *

    621       100,279  

Kirby Corp. *

    3,101       216,140  

Knight-Swift Transportation Holdings, Inc.

    8,104       458,524  

L3Harris Technologies, Inc.

    10,017       1,965,736  

Landstar System, Inc.

    277       49,655  

Lennox International, Inc.

    1,659       416,874  

Littelfuse, Inc.

    1,287       345,032  

Louisiana-Pacific Corp.

    3,503       189,898  

Martin Marietta Materials, Inc.

    2,947       1,046,362  

Masco Corp.

    11,095       551,643  

MasTec, Inc. *

    3,247       306,647  

Masterbrand, Inc. *

    3,958       31,822  

MDU Resources Group, Inc.

    10,492       319,796  

Mercury Systems, Inc. *

    2,521       128,874  

Middleby Corp. *

    2,586       379,134  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

244

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Mohawk Industries, Inc. *

    2,767       $277,309  

MSA Safety, Inc.

    1,166       155,661  

National Instruments Corp.

    5,910       309,743  

Nordson Corp.

    2,276       505,864  

Norfolk Southern Corp.

    11,954       2,534,248  

Northrop Grumman Corp.

    6,687       3,087,522  

nVent Electric PLC

    8,581       368,468  

Oshkosh Corp.

    3,411       283,727  

Otis Worldwide Corp.

    19,366       1,634,490  

Owens Corning

    4,845       464,151  

Packaging Corp. of America

    4,741       658,193  

Parker-Hannifin Corp.

    5,232       1,758,528  

Pentair PLC

    8,547       472,393  

Raytheon Technologies Corp.

    77,237       7,563,819  

Regal Rexnord Corp.

    3,382       475,949  

Republic Services, Inc.

    10,241       1,384,788  

Rockwell Automation, Inc.

    1,940       569,293  

RXO, Inc. *

    5,779       113,500  

Ryder System, Inc.

    2,671       238,360  

Schneider National, Inc. Class B

    2,847       76,157  

Sensata Technologies Holding PLC

    7,854       392,857  

Silgan Holdings, Inc.

    4,415       236,953  

Snap-on, Inc.

    2,731       674,257  

Sonoco Products Co.

    5,054       308,294  

Spirit AeroSystems Holdings, Inc. Class A

    246       8,494  

Stanley Black & Decker, Inc.

    7,671       618,129  

Stericycle, Inc. *

    4,762       207,671  

TD SYNNEX Corp.

    2,425       234,716  

Teledyne Technologies, Inc. *

    2,406       1,076,348  

Tetra Tech, Inc.

    1,649       242,255  

Textron, Inc.

    10,833       765,135  

Timken Co.

    3,242       264,936  

TopBuild Corp. *

    301       62,650  

Trane Technologies PLC

    5,003       920,452  

TransDigm Group, Inc.

    1,676       1,235,296  

Trimble, Inc.*

    12,790       670,452  

United Parcel Service, Inc. Class B

    4,277       829,695  

Valmont Industries, Inc.

    940       300,123  

Vertiv Holdings Co.

    13,890       198,766  

Vontier Corp.

    2,807       76,743  

Vulcan Materials Co.

    3,522       604,234  

Waste Management, Inc.

    1,389       226,643  

Westinghouse Air Brake Technologies Corp.

    9,405       950,469  

Westrock Co.

    13,166       401,168  

Woodward, Inc.

    3,076       299,510  

XPO, Inc. *

    5,210       166,199  

Xylem, Inc.

    8,003       837,914  
   

 

 

 
    99,224,371  
   

 

 

 

Technology - 6.7%

 

Activision Blizzard, Inc.

    40,806       3,492,586  

Advanced Micro Devices, Inc. *

    18,090       1,773,001  

Akamai Technologies, Inc. *

    8,047       630,080  

Amdocs Ltd.

    6,172       592,697  

Analog Devices, Inc.

    21,226       4,186,192  

ANSYS, Inc. *

    2,138       711,526  

BILL Holdings, Inc. *

    5,137       416,816  

Black Knight, Inc. *

    7,282       419,152  

Broadridge Financial Solutions, Inc.

    557       81,639  

CACI International, Inc. Class A *

    1,203       356,425  

CCC Intelligent Solutions Holdings, Inc. *

    4,789       42,957  

Ceridian HCM Holding, Inc. *

    5,758       421,601  

Cirrus Logic, Inc. *

    2,846       311,295  

Cognizant Technology Solutions Corp. Class A

    27,146       1,654,006  

Concentrix Corp.

    2,306       280,294  

Definitive Healthcare Corp. *

    1,177       12,158  

Dell Technologies, Inc. Class C

    10,584       425,583  

DoubleVerify Holdings, Inc. *

    1,163       35,064  

Doximity, Inc. Class A *

    3,268       105,818  

Dropbox, Inc. Class A *

    1,160       25,079  

DXC Technology Co. *

    11,949       305,416  
   

Shares

   

Value

 

Electronic Arts, Inc.

    13,566       $ 1,634,025  

Fidelity National Information Services, Inc.

    31,350       1,703,245  

Fiserv, Inc. *

    28,117       3,178,065  

Genpact Ltd.

    4,573       211,364  

GLOBALFOUNDRIES, Inc. *

    2,617       188,895  

Guidewire Software, Inc. *

    4,257       349,287  

Hewlett Packard Enterprise Co.

    66,784       1,063,869  

HP, Inc.

    28,607       839,615  

Informatica, Inc. Class A *

    1,890       30,996  

Intel Corp.

    217,556       7,107,555  

International Business Machines Corp.

    15,761       2,066,109  

IPG Photonics Corp. *

    1,735       213,943  

Jamf Holding Corp. *

    284       5,515  

KBR, Inc.

    2,800       154,140  

Kyndryl Holdings, Inc. *

    10,616       156,692  

Leidos Holdings, Inc.

    7,076       651,417  

Lumentum Holdings, Inc. *

    3,818       206,210  

Manhattan Associates, Inc. *

    1,306       202,234  

Marvell Technology, Inc.

    44,790       1,939,407  

Microchip Technology, Inc.

    4,038       338,304  

Micron Technology, Inc.

    46,279       2,792,475  

MKS Instruments, Inc.

    2,976       263,733  

MSCI, Inc.

    997       558,011  

nCino, Inc. *

    3,329       82,493  

NCR Corp. *

    6,851       161,615  

Nutanix, Inc. Class A *

    5,778       150,170  

ON Semiconductor Corp. *

    8,476       697,744  

Oracle Corp.

    25,206       2,342,142  

Paycor HCM, Inc. *

    3,376       89,532  

Procore Technologies, Inc. *

    1,137       71,210  

Qorvo, Inc. *

    5,175       525,625  

Roper Technologies, Inc.

    5,553       2,447,152  

Salesforce, Inc. *

    39,749       7,941,055  

Science Applications International Corp.

    2,889       310,452  

SentinelOne, Inc. Class A *

    2,356       38,544  

Skyworks Solutions, Inc.

    8,253       973,689  

Snowflake, Inc. Class A *

    1,127       173,885  

SS&C Technologies Holdings, Inc.

    11,462       647,259  

Take-Two Interactive Software, Inc. *

    1,504       179,427  

Teradata Corp. *

    2,209       88,979  

Teradyne, Inc.

    689       74,074  

Texas Instruments, Inc.

    15,023       2,794,428  

Twilio, Inc. Class A *

    5,628       374,994  

Tyler Technologies, Inc. *

    256       90,788  

UiPath, Inc. Class A *

    17,780       312,217  

Unity Software, Inc. *

    4,121       133,685  

VMware, Inc. Class A *

    5,695       711,021  

Western Digital Corp. *

    16,513       622,045  

Wolfspeed, Inc. *

    6,396       415,420  

Zebra Technologies Corp. Class A *

    1,582       503,076  

Zoom Video Communications, Inc. Class A *

    6,433       475,013  
   

 

 

 
    65,562,225  
   

 

 

 

Utilities - 5.5%

 

AES Corp.

    28,422       684,402  

Alliant Energy Corp.

    13,023       695,428  

Ameren Corp.

    13,698       1,183,370  

American Electric Power Co., Inc.

    27,035       2,459,915  

American Water Works Co., Inc.

    10,221       1,497,274  

Atmos Energy Corp.

    7,624       856,633  

Avangrid, Inc.

    3,971       158,363  

Brookfield Renewable Corp. Class A

    6,805       237,835  

CenterPoint Energy, Inc.

    32,738       964,462  

CMS Energy Corp.

    15,043       923,339  

Consolidated Edison, Inc.

    18,730       1,791,899  

Constellation Energy Corp.

    17,328       1,360,248  

Dominion Energy, Inc.

    43,773       2,447,348  

DTE Energy Co.

    10,024       1,098,029  

Duke Energy Corp.

    40,456       3,902,790  

Edison International

    19,943       1,407,776  

Entergy Corp.

    10,548       1,136,442  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

245

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Essential Utilities, Inc.

    12,021       $524,717  

Evergy, Inc.

    11,549       705,875  

Eversource Energy

    18,271       1,429,888  

Exelon Corp.

    52,273       2,189,716  

FirstEnergy Corp.

    28,910       1,158,135  

Hawaiian Electric Industries, Inc.

    6,116       234,854  

IDACORP, Inc.

    2,614       283,175  

National Fuel Gas Co.

    4,435       256,077  

NextEra Energy, Inc.

    104,356       8,043,761  

NiSource, Inc.

    21,094       589,788  

NRG Energy, Inc.

    10,920       374,447  

OGE Energy Corp.

    10,373       390,647  

PG&E Corp. *

    87,261       1,411,010  

Pinnacle West Capital Corp.

    5,864       464,663  

PPL Corp.

    38,292       1,064,135  

Public Service Enterprise Group, Inc.

    26,346       1,645,308  

Sempra Energy

    16,545       2,500,942  

Southern Co.

    57,135       3,975,453  

UGI Corp.

    10,875       378,015  

Vistra Corp.

    8,345       200,280  

WEC Energy Group, Inc.

    16,691       1,582,140  

Xcel Energy, Inc.

    28,752       1,939,035  
   

 

 

 
    54,147,614  
   

 

 

 

Total Common Stocks
(Cost $858,647,008)

      965,516,474  
   

 

 

 

EXCHANGE-TRADED FUND - 1.0%

 

iShares Russell 1000 Value

    66,241       10,085,855  
   

 

 

 

Total Exchange-Traded Fund
(Cost $9,940,954)

      10,085,855  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 0.6%

 

Repurchase Agreement - 0.6%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $5,620,872; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $5,731,240)

    $5,618,788       5,618,788  
   

 

 

 

Total Short-Term Investment
(Cost $5,618,788)

      5,618,788  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $874,206,750)

      981,221,117  
   

 

 

 

DERIVATIVES - 0.0%

      318,203  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.1%

      554,970  
   

 

 

 

NET ASSETS - 100.0%

      $982,094,290  
   

 

 

 

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

246

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

An investment with a value of $1,944 or less than 0.1% of the Fund’s net assets was valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or to the Board of Trustees.

 

(b)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
     Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

S&P 500 E-Mini Index

     06/23        21        $4,142,931        $4,344,638        $201,707  

S&P MID 400 E-Mini Index

     06/23        9        2,160,234        2,276,730        116,496  
              

 

 

 

Total Futures Contracts

                 $318,203  
              

 

 

 

 

(c)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $34,876,648        $34,876,648        $-        $-  
 

Communications

     99,234,540        99,234,540        -        -  
 

Consumer, Cyclical

     78,430,640        78,430,640        -        -  
 

Consumer, Non-Cyclical

     237,802,370        237,802,370        -        -  
 

Energy

     78,303,709        78,303,709        -        -  
 

Financial

     217,934,357        217,934,357        -        -  
 

Industrial

     99,224,371        99,222,427        1,944        -  
 

Technology

     65,562,225        65,562,225        -        -  
 

Utilities

     54,147,614        54,147,614        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     965,516,474        965,514,530        1,944        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Fund

     10,085,855        10,085,855        -        -  
 

Short-Term Investment

     5,618,788        -        5,618,788        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     318,203        318,203        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $981,539,320        $975,918,588        $5,620,732        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

247

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.3%

 

Basic Materials - 3.9%

 

Albemarle Corp.

    3,906       $863,382  

Alcoa Corp.

    5,989       254,892  

Ashland, Inc.

    1,746       179,332  

Axalta Coating Systems Ltd. *

    7,187       217,694  

Celanese Corp.

    3,615       393,637  

CF Industries Holdings, Inc.

    6,533       473,577  

Chemours Co.

    5,114       153,113  

Cleveland-Cliffs, Inc. *

    17,162       314,580  

DuPont de Nemours, Inc.

    15,308       1,098,655  

Eastman Chemical Co.

    4,009       338,119  

Element Solutions, Inc.

    7,338       141,697  

FMC Corp.

    4,203       513,312  

Huntsman Corp.

    6,265       171,410  

International Flavors & Fragrances, Inc.

    8,505       782,120  

International Paper Co.

    11,851       427,347  

LyondellBasell Industries NV Class A

    8,576       805,201  

Mosaic Co.

    11,348       520,646  

MP Materials Corp. *

    2,953       83,245  

NewMarket Corp.

    186       67,886  

Nucor Corp.

    8,557       1,321,800  

Olin Corp.

    4,148       230,214  

PPG Industries, Inc.

    7,864       1,050,473  

Reliance Steel & Aluminum Co.

    1,948       500,130  

Royal Gold, Inc.

    2,206       286,140  

RPM International, Inc.

    4,263       371,904  

SSR Mining, Inc. (Canada)

    6,705       101,380  

Steel Dynamics, Inc.

    5,555       628,048  

United States Steel Corp.

    7,691       200,735  

Valvoline, Inc.

    5,590       195,315  

Westlake Corp.

    1,074       124,563  
   

 

 

 
      12,810,547  
   

 

 

 

Communications - 6.1%

 

Altice USA, Inc. Class A *

    6,382       21,826  

Arista Networks, Inc. *

    8,212       1,378,466  

Cable One, Inc.

    188       131,976  

CDW Corp.

    4,512       879,344  

Ciena Corp. *

    4,982       261,655  

Corning, Inc.

    24,553       866,230  

DISH Network Corp. Class A *

    8,156       76,095  

DoorDash, Inc. Class A *

    8,339       530,027  

eBay, Inc.

    18,120       803,984  

Etsy, Inc. *

    4,172       464,469  

Expedia Group, Inc. *

    4,921       477,485  

F5, Inc. *

    2,004       291,963  

FactSet Research Systems, Inc.

    1,266       525,504  

Fox Corp. Class A

    9,776       332,873  

Fox Corp. Class B

    4,541       142,179  

Frontier Communications Parent, Inc. *

    7,972       181,522  

Gen Digital, Inc.

    18,428       316,224  

GoDaddy, Inc. Class A *

    5,221       405,776  

IAC, Inc. *

    2,502       129,103  

Interpublic Group of Cos., Inc.

    12,947       482,146  

Juniper Networks, Inc.

    10,696       368,156  

Liberty Broadband Corp. Class A *

    567       46,562  

Liberty Broadband Corp. Class C *

    3,996       326,473  

Liberty Media Corp. - Liberty Formula One Class A *

    669       45,157  

Liberty Media Corp. - Liberty Formula One Class C *

    6,695       500,987  

Liberty Media Corp. - Liberty SiriusXM
Class A *

    2,443       68,624  

Liberty Media Corp. - Liberty SiriusXM
Class C *

    5,038       141,014  

Lumen Technologies, Inc.

    33,443       88,624  

Lyft, Inc. Class A *

    10,611       98,364  

Match Group, Inc. *

    9,323       357,910  

Motorola Solutions, Inc.

    5,495       1,572,284  
   

Shares

   

Value

 

New York Times Co. Class A

    5,286       $205,520  

News Corp. Class A

    12,365       213,544  

News Corp. Class B

    3,852       67,140  

Nexstar Media Group, Inc.

    1,180       203,739  

Okta, Inc. *

    5,047       435,253  

Omnicom Group, Inc.

    6,690       631,135  

Opendoor Technologies, Inc. *

    14,019       24,673  

Paramount Global Class A

    512       13,230  

Paramount Global Class B

    19,243       429,311  

Pinterest, Inc. Class A *

    19,820       540,491  

Robinhood Markets, Inc. Class A *

    19,594       190,258  

Roku, Inc. *

    4,107       270,323  

Sirius XM Holdings, Inc.

    22,844       90,691  

Spotify Technology SA *

    4,671       624,139  

Trade Desk, Inc. Class A *

    14,644       891,966  

TripAdvisor, Inc. *

    3,324       66,015  

Ubiquiti, Inc.

    135       36,678  

VeriSign, Inc. *

    3,096       654,278  

Viasat, Inc. *

    2,364       79,998  

Warner Bros Discovery, Inc. *

    78,729       1,188,808  

Wayfair, Inc. Class A *

    2,567       88,151  

Wix.com Ltd. * (Israel)

    1,897       189,321  

World Wrestling Entertainment, Inc. Class A

    1,401       127,855  

Zillow Group, Inc. Class A *

    1,834       80,146  

Zillow Group, Inc. Class C *

    5,138       228,487  
   

 

 

 
    19,884,152  
   

 

 

 

Consumer, Cyclical - 14.1%

 

Advance Auto Parts, Inc.

    2,005       243,828  

Alaska Air Group, Inc. *

    4,306       180,680  

Allison Transmission Holdings, Inc.

    2,998       135,630  

AMC Entertainment Holdings, Inc. Class A *

    16,823       84,283  

American Airlines Group, Inc. *

    21,680       319,780  

Aptiv PLC *

    9,022       1,012,178  

Aramark

    7,927       283,787  

AutoNation, Inc. *

    1,097       147,393  

AutoZone, Inc. *

    625       1,536,344  

Bath & Body Works, Inc.

    7,714       282,178  

Best Buy Co., Inc.

    6,597       516,347  

BJ’s Wholesale Club Holdings, Inc. *

    4,484       341,098  

BorgWarner, Inc.

    7,798       382,960  

Boyd Gaming Corp.

    2,638       169,149  

Brunswick Corp.

    2,473       202,786  

Burlington Stores, Inc. *

    2,167       437,951  

Caesars Entertainment, Inc. *

    6,891       336,350  

Capri Holdings Ltd. *

    4,206       197,682  

CarMax, Inc. *

    5,303       340,877  

Carnival Corp. *

    32,829       333,214  

Carter’s, Inc.

    1,214       87,311  

Carvana Co. *

    3,088       30,232  

Casey’s General Stores, Inc.

    1,252       271,008  

Chipotle Mexican Grill, Inc. *

    917       1,566,502  

Choice Hotels International, Inc.

    1,047       122,698  

Churchill Downs, Inc.

    1,199       308,203  

Columbia Sportswear Co.

    1,172       105,761  

Copa Holdings SA Class A * (Panama)

    924       85,331  

Copart, Inc. *

    14,225       1,069,862  

Core & Main, Inc. Class A *

    2,387       55,140  

Cummins, Inc.

    4,704       1,123,692  

Darden Restaurants, Inc.

    4,085       633,829  

Deckers Outdoor Corp. *

    880       395,604  

Delta Air Lines, Inc. *

    21,361       745,926  

Dick’s Sporting Goods, Inc.

    1,794       254,551  

Dolby Laboratories, Inc. Class A

    2,040       174,257  

Dollar Tree, Inc. *

    6,967       1,000,113  

Domino’s Pizza, Inc.

    1,178       388,587  

DR Horton, Inc.

    10,530       1,028,676  

DraftKings, Inc. Class A *

    12,033       232,959  

Fastenal Co.

    19,211       1,036,241  

Five Below, Inc. *

    1,825       375,895  

Floor & Decor Holdings, Inc. Class A *

    3,460       339,841  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

248

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Freshpet, Inc. *

    1,480       $97,961  

GameStop Corp. Class A *

    9,291       213,879  

Gap, Inc.

    6,332       63,573  

Gentex Corp.

    7,993       224,044  

Genuine Parts Co.

    4,633       775,147  

Hanesbrands, Inc.

    11,344       59,669  

Harley-Davidson, Inc.

    4,625       175,611  

Hasbro, Inc.

    4,468       239,887  

Hilton Worldwide Holdings, Inc.

    8,759       1,233,880  

Hyatt Hotels Corp. Class A *

    1,628       181,994  

JetBlue Airways Corp. *

    10,440       76,003  

Kohl’s Corp.

    3,579       84,250  

Las Vegas Sands Corp. *

    11,037       634,076  

Lear Corp.

    1,984       276,748  

Leggett & Platt, Inc.

    4,331       138,072  

Lennar Corp. Class A

    8,368       879,561  

Lennar Corp. Class B

    482       43,047  

Leslie’s, Inc. *

    5,707       62,834  

Lithia Motors, Inc.

    883       202,145  

Live Nation Entertainment, Inc. *

    5,215       365,050  

LKQ Corp.

    8,341       473,435  

Lucid Group, Inc. *

    18,906       152,004  

Lululemon Athletica, Inc. *

    3,727       1,357,336  

Macy’s, Inc.

    9,257       161,905  

Madison Square Garden Sports Corp.

    606       118,079  

Marriott Vacations Worldwide Corp.

    1,286       173,430  

Mattel, Inc. *

    11,442       210,647  

MGM Resorts International

    10,565       469,297  

MSC Industrial Direct Co., Inc. Class A

    1,504       126,336  

Newell Brands, Inc.

    12,288       152,863  

Nordstrom, Inc.

    3,642       59,255  

Norwegian Cruise Line Holdings Ltd. *

    14,342       192,900  

NVR, Inc. *

    97       540,502  

O’Reilly Automotive, Inc. *

    2,070       1,757,389  

Ollie’s Bargain Outlet Holdings, Inc. *

    2,031       117,676  

PACCAR, Inc.

    17,080       1,250,256  

Peloton Interactive, Inc. Class A *

    10,032       113,763  

Penn Entertainment, Inc. *

    5,028       149,130  

Penske Automotive Group, Inc.

    839       118,979  

Petco Health & Wellness Co., Inc. *

    2,619       23,571  

Planet Fitness, Inc. Class A *

    2,717       211,029  

Polaris, Inc.

    1,792       198,249  

Pool Corp.

    1,269       434,556  

PulteGroup, Inc.

    7,563       440,772  

PVH Corp.

    2,178       194,191  

QuantumScape Corp. *

    8,391       68,638  

Ralph Lauren Corp.

    1,320       154,004  

RH *

    592       144,182  

Rivian Automotive, Inc. Class A *

    17,622       272,789  

Ross Stores, Inc.

    11,378       1,207,547  

Royal Caribbean Cruises Ltd. *

    7,350       479,955  

Scotts Miracle-Gro Co.

    1,314       91,638  

SiteOne Landscape Supply, Inc. *

    1,448       198,188  

Six Flags Entertainment Corp. *

    2,419       64,612  

Skechers USA, Inc. Class A *

    4,355       206,950  

Southwest Airlines Co.

    19,762       643,056  

Tapestry, Inc.

    7,911       341,043  

Tempur Sealy International, Inc.

    5,413       213,759  

Thor Industries, Inc.

    1,680       133,795  

Toll Brothers, Inc.

    3,747       224,932  

Tractor Supply Co.

    3,685       866,122  

Travel & Leisure Co.

    2,596       101,763  

Ulta Beauty, Inc. *

    1,682       917,817  

Under Armour, Inc. Class A *

    6,133       58,202  

Under Armour, Inc. Class C *

    6,180       52,715  

United Airlines Holdings, Inc. *

    10,884       481,617  

Univar Solutions, Inc. *

    5,234       183,347  

Vail Resorts, Inc.

    1,351       315,702  

VF Corp.

    11,809       270,544  

Victoria’s Secret, Inc. *

    2,640       90,156  

Watsco, Inc.

    1,103       350,931  

Wendy’s Co.

    5,551       120,901  
   

Shares

   

Value

 

WESCO International, Inc.

    1,517       $234,437  

Whirlpool Corp.

    1,808       238,692  

Williams-Sonoma, Inc.

    2,236       272,032  

WW Grainger, Inc.

    1,504       1,035,970  

Wyndham Hotels & Resorts, Inc.

    2,825       191,676  

Wynn Resorts Ltd. *

    3,479       389,335  

YETI Holdings, Inc. *

    2,807       112,280  

Yum! Brands, Inc.

    9,411       1,243,005  
   

 

 

 
    46,114,027  
   

 

 

 

Consumer, Non-Cyclical - 17.9%

 

10X Genomics, Inc. Class A *

    3,186       177,747  

Acadia Healthcare Co., Inc. *

    2,899       209,453  

ADT, Inc.

    6,803       49,186  

Affirm Holdings, Inc. *

    7,200       81,144  

agilon health, Inc. *

    6,497       154,304  

Albertsons Cos., Inc. Class A

    8,055       167,383  

Align Technology, Inc. *

    2,618       874,779  

Alnylam Pharmaceuticals, Inc. *

    4,102       821,713  

Amedisys, Inc. *

    1,041       76,566  

AmerisourceBergen Corp.

    5,441       871,159  

Avantor, Inc. *

    20,349       430,178  

Avery Dennison Corp.

    2,717       486,153  

Avis Budget Group, Inc. *

    884       172,203  

Azenta, Inc. *

    2,224       99,235  

Bio-Rad Laboratories, Inc. Class A *

    716       342,978  

Bio-Techne Corp.

    5,192       385,194  

Biogen, Inc. *

    4,784       1,330,096  

BioMarin Pharmaceutical, Inc. *

    6,158       598,804  

Booz Allen Hamilton Holding Corp.

    4,380       405,982  

Boston Beer Co., Inc. Class A *

    307       100,911  

Bright Horizons Family Solutions, Inc. *

    1,990       153,210  

Brown-Forman Corp. Class A

    1,481       96,546  

Brown-Forman Corp. Class B

    6,124       393,589  

Bruker Corp.

    3,617       285,164  

Bunge Ltd.

    4,616       440,920  

Campbell Soup Co.

    6,483       356,435  

Cardinal Health, Inc.

    8,598       649,149  

Catalent, Inc. *

    5,971       392,354  

Certara, Inc. *

    3,783       91,208  

Charles River Laboratories International, Inc. *

    1,689       340,874  

Chemed Corp.

    493       265,111  

Church & Dwight Co., Inc.

    8,103       716,386  

Cintas Corp.

    2,889       1,336,683  

Clarivate PLC *

    16,302       153,076  

Clorox Co.

    4,112       650,683  

Conagra Brands, Inc.

    15,707       589,955  

Cooper Cos., Inc.

    1,621       605,217  

Corteva, Inc.

    23,877       1,440,022  

CoStar Group, Inc. *

    13,460       926,721  

Coty, Inc. Class A *

    11,438       137,942  

Darling Ingredients, Inc. *

    5,382       314,309  

DaVita, Inc. *

    1,810       146,809  

Dentsply Sirona, Inc.

    7,224       283,759  

Dexcom, Inc. *

    12,863       1,494,423  

Driven Brands Holdings, Inc. *

    2,024       61,347  

Dun & Bradstreet Holdings, Inc.

    8,184       96,080  

Elanco Animal Health, Inc. *

    14,495       136,253  

Encompass Health Corp.

    3,366       182,101  

Enhabit, Inc. *

    1,444       20,086  

Enovis Corp. *

    1,648       88,152  

Envista Holdings Corp. *

    5,298       216,582  

Equifax, Inc.

    4,056       822,719  

Euronet Worldwide, Inc. *

    1,625       181,838  

Exact Sciences Corp. *

    5,836       395,739  

Exelixis, Inc. *

    10,411       202,078  

FleetCor Technologies, Inc. *

    2,396       505,197  

Flowers Foods, Inc.

    6,445       176,657  

FTI Consulting, Inc. *

    1,144       225,768  

Gartner, Inc. *

    2,561       834,297  

Ginkgo Bioworks Holdings, Inc. *

    27,567       36,664  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

249

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

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Global Payments, Inc.

    8,714       $917,061  

Globus Medical, Inc. Class A *

    2,512       142,280  

Grand Canyon Education, Inc. *

    998       113,672  

Grocery Outlet Holding Corp. *

    2,871       81,134  

Guardant Health, Inc. *

    3,172       74,352  

GXO Logistics, Inc. *

    3,647       184,028  

H&R Block, Inc.

    5,219       183,970  

Henry Schein, Inc. *

    4,520       368,561  

Hershey Co.

    4,871       1,239,231  

Hertz Global Holdings, Inc. *

    5,933       96,649  

Hologic, Inc. *

    8,115       654,880  

Horizon Therapeutics PLC *

    7,387       806,217  

Hormel Foods Corp.

    9,573       381,771  

ICU Medical, Inc. *

    656       108,214  

IDEXX Laboratories, Inc. *

    2,743       1,371,719  

Incyte Corp. *

    6,089       440,052  

Ingredion, Inc.

    2,228       226,654  

Insulet Corp. *

    2,297       732,651  

Integra LifeSciences Holdings Corp. *

    2,357       135,315  

Ionis Pharmaceuticals, Inc. *

    4,858       173,625  

IQVIA Holdings, Inc. *

    6,192       1,231,527  

J M Smucker Co.

    3,440       541,353  

Jazz Pharmaceuticals PLC *

    2,072       303,196  

Kellogg Co.

    8,508       569,696  

Kroger Co.

    21,884       1,080,413  

Laboratory Corp. of America Holdings

    2,955       677,936  

Lamb Weston Holdings, Inc.

    4,809       502,637  

ManpowerGroup, Inc.

    1,636       135,019  

Maravai LifeSciences Holdings, Inc. Class A *

    3,574       50,072  

MarketAxess Holdings, Inc.

    1,239       484,808  

Masimo Corp. *

    1,598       294,895  

McCormick & Co., Inc.

    8,365       696,052  

Mirati Therapeutics, Inc. *

    1,453       54,023  

Mister Car Wash, Inc. *

    3,163       27,265  

Molina Healthcare, Inc. *

    1,911       511,173  

Molson Coors Beverage Co. Class B

    5,882       303,982  

Morningstar, Inc.

    859       174,403  

Natera, Inc. *

    3,179       176,498  

Neurocrine Biosciences, Inc. *

    3,216       325,524  

Novavax, Inc. *

    3,335       23,112  

Novocure Ltd. *

    3,363       202,251  

Oak Street Health, Inc. *

    3,792       146,675  

Olaplex Holdings, Inc. *

    5,197       22,191  

Organon & Co.

    8,695       204,506  

Paylocity Holding Corp. *

    1,358       269,943  

Penumbra, Inc. *

    1,196       333,313  

Performance Food Group Co. *

    5,118       308,820  

PerkinElmer, Inc.

    4,209       560,891  

Perrigo Co. PLC

    4,635       166,257  

Pilgrim’s Pride Corp. *

    1,515       35,118  

Post Holdings, Inc. *

    1,863       167,428  

Premier, Inc. Class A

    3,832       124,042  

QIAGEN NV *

    7,583       348,287  

Quanta Services, Inc.

    4,748       791,207  

Quest Diagnostics, Inc.

    3,692       522,344  

QuidelOrtho Corp. *

    1,587       141,386  

Repligen Corp. *

    1,854       312,139  

ResMed, Inc.

    4,822       1,055,970  

Reynolds Consumer Products, Inc.

    1,768       48,620  

Ritchie Bros Auctioneers, Inc. (Canada)

    2,288       128,792  

Robert Half International, Inc.

    3,565       287,232  

Rollins, Inc.

    7,796       292,584  

Royalty Pharma PLC Class A

    12,410       447,132  

Sarepta Therapeutics, Inc. *

    2,814       387,854  

Seaboard Corp.

    8       30,160  

Seagen, Inc. *

    4,536       918,404  

Service Corp. International

    5,010       344,588  

Shift4 Payments, Inc. Class A *

    1,643       124,539  

Sotera Health Co. *

    3,217       57,616  

Spectrum Brands Holdings, Inc.

    1,297       85,887  

STERIS PLC

    3,330       636,962  

Syneos Health, Inc. *

    3,335       118,793  
   

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Tandem Diabetes Care, Inc. *

    2,077       $84,347  

Teladoc Health, Inc. *

    5,227       135,379  

Teleflex, Inc.

    1,566       396,683  

Tenet Healthcare Corp. *

    3,460       205,593  

Toast, Inc. Class A *

    8,299       147,307  

TransUnion

    6,421       399,001  

Tyson Foods, Inc. Class A

    9,284       550,727  

U-Haul Holding Co.

    3,014       159,225  

Ultragenyx Pharmaceutical, Inc. *

    2,174       87,177  

United Rentals, Inc.

    2,330       922,121  

United Therapeutics Corp. *

    1,494       334,596  

Universal Health Services, Inc. Class B

    2,097       266,529  

US Foods Holding Corp. *

    6,831       252,337  

Verisk Analytics, Inc.

    5,184       994,602  

Viatris, Inc.

    40,433       388,965  

Waters Corp. *

    1,971       610,281  

West Pharmaceutical Services, Inc.

    2,471       856,127  

WEX, Inc. *

    1,417       260,572  

WillScot Mobile Mini Holdings Corp. *

    6,821       319,768  

Zimmer Biomet Holdings, Inc.

    7,001       904,529  
   

 

 

 
    58,770,688  
   

 

 

 

Energy - 5.2%

 

Antero Midstream Corp.

    10,944       114,802  

Antero Resources Corp. *

    9,231       213,144  

APA Corp.

    10,718       386,491  

Baker Hughes Co.

    31,430       907,070  

Cheniere Energy, Inc.

    8,307       1,309,183  

Chesapeake Energy Corp.

    4,069       309,407  

Coterra Energy, Inc.

    26,188       642,653  

Devon Energy Corp.

    21,708       1,098,642  

Diamondback Energy, Inc.

    5,975       807,641  

DTE Midstream LLC *

    3,352       165,488  

Enphase Energy, Inc. *

    4,368       918,503  

Enviva, Inc.

    984       28,418  

EQT Corp.

    12,309       392,780  

First Solar, Inc. *

    3,544       770,820  

Halliburton Co.

    29,985       948,725  

Hess Corp.

    9,398       1,243,731  

HF Sinclair Corp.

    4,585       221,822  

Marathon Oil Corp.

    21,125       506,155  

New Fortress Energy, Inc.

    1,701       50,060  

NOV, Inc.

    13,266       245,554  

ONEOK, Inc.

    14,835       942,616  

Ovintiv, Inc.

    8,258       297,949  

PDC Energy, Inc.

    3,017       193,631  

Phillips 66

    15,557       1,577,169  

Plug Power, Inc. *

    16,907       198,150  

Range Resources Corp.

    8,066       213,507  

Southwestern Energy Co. *

    37,741       188,705  

Sunrun, Inc. *

    6,780       136,617  

Targa Resources Corp.

    7,539       549,970  

Texas Pacific Land Corp.

    192       326,596  

Vitesse Energy, Inc.

    1,023       19,468  

Williams Cos., Inc.

    40,652       1,213,869  
   

 

 

 
    17,139,336  
   

 

 

 

Financial - 18.4%

 

Affiliated Managers Group, Inc.

    1,286       183,152  

Aflac, Inc.

    20,363       1,313,821  

AGNC Investment Corp. REIT

    18,571       187,196  

Air Lease Corp.

    3,382       133,149  

Alexandria Real Estate Equities, Inc. REIT

    5,733       720,007  

Allstate Corp.

    8,822       977,566  

Ally Financial, Inc.

    10,124       258,061  

American Financial Group, Inc.

    2,269       275,683  

American Homes 4 Rent Class A REIT

    10,325       324,721  

Americold Realty Trust, Inc. REIT

    9,077       258,241  

Ameriprise Financial, Inc.

    3,510       1,075,815  

Annaly Capital Management, Inc. REIT

    15,713       300,275  

Apartment Income REIT Corp. REIT

    5,142       184,135  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

250

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

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Value

 

Apollo Global Management, Inc.

    16,138       $1,019,276  

Arch Capital Group Ltd. *

    11,819       802,155  

Ares Management Corp. Class A

    5,117       426,962  

Arthur J Gallagher & Co.

    6,944       1,328,457  

Assurant, Inc.

    1,732       207,961  

Assured Guaranty Ltd.

    1,875       94,256  

AvalonBay Communities, Inc. REIT

    4,661       783,328  

Axis Capital Holdings Ltd.

    2,533       138,099  

Bank of Hawaii Corp.

    1,273       66,298  

Bank of New York Mellon Corp.

    24,516       1,114,007  

Bank OZK

    3,640       124,488  

Blue Owl Capital, Inc.

    13,733       152,162  

BOK Financial Corp.

    945       79,767  

Boston Properties, Inc. REIT

    5,282       285,862  

Brighthouse Financial, Inc. *

    2,206       97,307  

Brixmor Property Group, Inc. REIT

    9,709       208,938  

Brown & Brown, Inc.

    7,888       452,929  

Camden Property Trust REIT

    3,465       363,271  

Carlyle Group, Inc.

    7,040       218,662  

Cboe Global Markets, Inc.

    3,532       474,136  

CBRE Group, Inc. Class A *

    10,519       765,888  

Cincinnati Financial Corp.

    5,115       573,289  

Citizens Financial Group, Inc.

    16,293       494,818  

CNA Financial Corp.

    888       34,659  

Coinbase Global, Inc. Class A *

    5,328       360,013  

Columbia Banking System, Inc.

    6,909       147,991  

Comerica, Inc.

    4,252       184,622  

Commerce Bancshares, Inc.

    3,859       225,173  

Cousins Properties, Inc. REIT

    4,916       105,104  

Credit Acceptance Corp. *

    216       94,185  

CubeSmart REIT

    7,474       345,448  

Cullen/Frost Bankers, Inc.

    1,987       209,311  

Discover Financial Services

    8,901       879,775  

Douglas Emmett, Inc. REIT

    5,502       67,840  

East West Bancorp, Inc.

    4,771       264,790  

EastGroup Properties, Inc. REIT

    1,397       230,952  

EPR Properties REIT

    2,410       91,821  

Equitable Holdings, Inc.

    11,999       304,655  

Equity LifeStyle Properties, Inc. REIT

    5,926       397,812  

Equity Residential REIT

    12,358       741,480  

Erie Indemnity Co. Class A

    816       189,035  

Essex Property Trust, Inc. REIT

    2,144       448,396  

Evercore, Inc. Class A

    1,187       136,956  

Everest Re Group Ltd.

    1,298       464,710  

Extra Space Storage, Inc. REIT

    4,422       720,476  

F&G Annuities & Life, Inc.

    763       13,826  

Federal Realty Investment Trust REIT

    2,713       268,126  

Fidelity National Financial, Inc.

    8,456       295,368  

Fifth Third Bancorp

    22,737       605,714  

First American Financial Corp.

    3,284       182,787  

First Citizens BancShares, Inc. Class A

    358       348,370  

First Hawaiian, Inc.

    4,158       85,779  

First Horizon Corp.

    17,226       306,278  

First Industrial Realty Trust, Inc. REIT

    4,469       237,751  

First Republic Bank

    6,430       89,956  

FNB Corp.

    11,650       135,140  

Franklin Resources, Inc.

    9,289       250,246  

Gaming & Leisure Properties, Inc. REIT

    8,146       424,081  

Globe Life, Inc.

    2,999       329,950  

Hanover Insurance Group, Inc.

    1,228       157,798  

Hartford Financial Services Group, Inc.

    10,595       738,366  

Healthcare Realty Trust, Inc. REIT

    12,819       247,791  

Healthpeak Properties, Inc. REIT

    18,234       400,601  

Highwoods Properties, Inc. REIT

    3,381       78,405  

Host Hotels & Resorts, Inc. REIT

    23,642       389,857  

Howard Hughes Corp. *

    1,192       95,360  

Hudson Pacific Properties, Inc. REIT

    4,478       29,779  

Huntington Bancshares, Inc.

    47,889       536,357  

Interactive Brokers Group, Inc. Class A

    3,144       259,569  

Invesco Ltd.

    12,155       199,342  

Invitation Homes, Inc. REIT

    20,364       635,968  

Iron Mountain, Inc. REIT

    9,632       509,629  
   

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Janus Henderson Group PLC

    4,428       $117,962  

JBG SMITH Properties REIT

    3,478       52,379  

Jefferies Financial Group, Inc.

    6,440       204,406  

Jones Lang LaSalle, Inc. *

    1,617       235,257  

Kemper Corp.

    2,067       112,982  

KeyCorp

    31,045       388,683  

Kilroy Realty Corp. REIT

    3,783       122,569  

Kimco Realty Corp. REIT

    20,180       394,115  

KKR & Co., Inc.

    19,087       1,002,449  

Lamar Advertising Co. Class A REIT

    2,913       290,980  

Lazard Ltd. Class A

    2,694       89,198  

Life Storage, Inc. REIT

    2,814       368,887  

Lincoln National Corp.

    5,523       124,102  

Loews Corp.

    6,501       377,188  

LPL Financial Holdings, Inc.

    2,656       537,574  

M&T Bank Corp.

    5,737       685,973  

Markel Corp. *

    441       563,338  

Medical Properties Trust, Inc. REIT

    19,332       158,909  

MGIC Investment Corp.

    9,613       129,006  

Mid-America Apartment Communities, Inc. REIT

    3,831       578,634  

Nasdaq, Inc.

    11,473       627,229  

National Retail Properties, Inc. REIT

    6,109       269,712  

National Storage Affiliates Trust REIT

    2,763       115,438  

New York Community Bancorp, Inc.

    21,788       196,963  

Northern Trust Corp.

    6,859       604,484  

Old Republic International Corp.

    9,479       236,691  

Omega Healthcare Investors, Inc. REIT

    7,989       218,978  

OneMain Holdings, Inc.

    3,736       138,531  

PacWest Bancorp

    3,783       36,809  

Park Hotels & Resorts, Inc. REIT

    7,255       89,672  

Pinnacle Financial Partners, Inc.

    2,439       134,535  

Popular, Inc.

    2,292       131,584  

Primerica, Inc.

    1,193       205,482  

Principal Financial Group, Inc.

    8,080       600,506  

Prosperity Bancshares, Inc.

    2,998       184,437  

Prudential Financial, Inc.

    12,290       1,016,875  

Raymond James Financial, Inc.

    6,496       605,882  

Rayonier, Inc. REIT

    5,032       167,364  

Realty Income Corp. REIT

    20,946       1,326,301  

Regency Centers Corp. REIT

    5,740       351,173  

Regions Financial Corp.

    31,190       578,886  

Reinsurance Group of America, Inc.

    2,251       298,843  

RenaissanceRe Holdings Ltd. (Bermuda)

    1,450       290,493  

Rexford Industrial Realty, Inc. REIT

    6,525       389,216  

Rithm Capital Corp. REIT

    14,092       112,736  

Rocket Cos., Inc. Class A *

    3,693       33,459  

Ryan Specialty Holdings, Inc. *

    2,677       107,722  

SBA Communications Corp. REIT

    3,559       929,148  

SEI Investments Co.

    3,347       192,620  

Simon Property Group, Inc. REIT

    10,887       1,219,017  

SL Green Realty Corp. REIT

    2,084       49,016  

SLM Corp.

    7,795       96,580  

SoFi Technologies, Inc. *

    27,902       169,365  

Spirit Realty Capital, Inc. REIT

    4,767       189,917  

Starwood Property Trust, Inc. REIT

    9,507       168,179  

State Street Corp.

    11,640       881,032  

Stifel Financial Corp.

    3,324       196,415  

Sun Communities, Inc. REIT

    4,059       571,832  

Synchrony Financial

    14,533       422,620  

Synovus Financial Corp.

    4,686       144,469  

T Rowe Price Group, Inc.

    7,342       828,912  

TFS Financial Corp.

    1,778       22,456  

Tradeweb Markets, Inc. Class A

    3,626       286,526  

UDR, Inc. REIT

    10,938       449,114  

Unum Group

    6,700       265,052  

Upstart Holdings, Inc. *

    2,295       36,468  

UWM Holdings Corp.

    2,763       13,566  

Ventas, Inc. REIT

    13,323       577,552  

VICI Properties, Inc. REIT

    33,459       1,091,433  

Virtu Financial, Inc. Class A

    3,071       58,042  

Vornado Realty Trust REIT

    5,743       88,270  

Voya Financial, Inc.

    3,314       236,818  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

251

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

W R Berkley Corp.

    6,869       $427,664  

Webster Financial Corp.

    5,865       231,198  

Welltower, Inc. REIT

    15,788       1,131,842  

Western Alliance Bancorp

    3,442       122,329  

Western Union Co.

    10,837       120,833  

WeWork, Inc. Class A *

    5,435       4,225  

Weyerhaeuser Co. REIT

    24,557       739,902  

White Mountains Insurance Group Ltd.

    81       111,577  

Willis Towers Watson PLC

    3,592       834,709  

Wintrust Financial Corp.

    2,077       151,517  

WP Carey, Inc. REIT

    6,966       539,517  

Zions Bancorp NA

    5,098       152,583  
   

 

 

 
    60,318,443  
   

 

 

 

Industrial - 14.5%

 

Acuity Brands, Inc.

    1,043       190,587  

Advanced Drainage Systems, Inc.

    2,143       180,462  

AECOM

    4,399       370,924  

AGCO Corp.

    2,097       283,514  

Agilent Technologies, Inc.

    9,873       1,365,831  

Allegion PLC

    2,942       314,000  

Amcor PLC

    49,486       563,151  

AMETEK, Inc.

    7,690       1,117,588  

Amphenol Corp. Class A

    19,546       1,597,299  

AO Smith Corp.

    4,212       291,260  

AptarGroup, Inc.

    2,214       261,673  

Ardagh Group SA * W

    1,329       8,878  

Ardagh Metal Packaging SA

    4,302       17,552  

Armstrong World Industries, Inc.

    1,474       105,008  

Arrow Electronics, Inc. *

    1,969       245,869  

Avnet, Inc.

    2,960       133,792  

Axon Enterprise, Inc. *

    2,254       506,812  

AZEK Co., Inc. *

    3,621       85,238  

Ball Corp.

    10,291       567,137  

Berry Global Group, Inc.

    4,124       242,904  

Builders FirstSource, Inc. *

    4,852       430,761  

BWX Technologies, Inc.

    2,972       187,355  

Carlisle Cos., Inc.

    1,716       387,936  

Carrier Global Corp.

    27,893       1,276,105  

CH Robinson Worldwide, Inc.

    3,874       384,959  

ChargePoint Holdings, Inc. *

    8,238       86,252  

Clean Harbors, Inc. *

    1,728       246,344  

Cognex Corp.

    5,845       289,620  

Coherent Corp. *

    3,862       147,065  

Crane Co.

    1,615       183,302  

Crown Holdings, Inc.

    3,867       319,840  

Curtiss-Wright Corp.

    1,302       229,490  

Donaldson Co., Inc.

    4,102       268,025  

Dover Corp.

    4,674       710,168  

Eagle Materials, Inc.

    1,234       181,089  

Esab Corp.

    1,845       108,984  

Expeditors International of Washington, Inc.

    5,293       582,865  

Flowserve Corp.

    4,238       144,092  

Fortive Corp.

    11,816       805,497  

Fortune Brands Innovations, Inc.

    4,321       253,772  

Garmin Ltd.

    5,144       519,132  

Gates Industrial Corp. PLC *

    3,512       48,782  

Generac Holdings, Inc. *

    2,109       227,793  

Graco, Inc.

    5,601       408,929  

Graphic Packaging Holding Co.

    10,348       263,770  

Hayward Holdings, Inc. *

    2,409       28,233  

HEICO Corp.

    1,520       259,981  

HEICO Corp. Class A

    2,641       358,912  

Hexcel Corp.

    2,728       186,186  

Howmet Aerospace, Inc.

    12,383       524,668  

Hubbell, Inc.

    1,787       434,795  

Huntington Ingalls Industries, Inc.

    1,327       274,716  

IDEX Corp.

    2,535       585,661  

Ingersoll Rand, Inc.

    13,556       788,688  

ITT, Inc.

    2,833       244,488  

Jabil, Inc.

    4,351       383,584  
   

Shares

   

Value

 

Jacobs Solutions, Inc.

    4,201       $493,659  

JB Hunt Transport Services, Inc.

    2,750       482,515  

Keysight Technologies, Inc. *

    5,981       965,812  

Kirby Corp. *

    1,943       135,427  

Knight-Swift Transportation Holdings, Inc.

    5,249       296,988  

Landstar System, Inc.

    1,161       208,121  

Lennox International, Inc.

    1,078       270,880  

Lincoln Electric Holdings, Inc.

    1,881       318,077  

Littelfuse, Inc.

    787       210,987  

Louisiana-Pacific Corp.

    2,313       125,388  

Martin Marietta Materials, Inc.

    2,075       736,749  

Masco Corp.

    7,520       373,894  

MasTec, Inc. *

    2,090       197,380  

Masterbrand, Inc. *

    4,160       33,446  

MDU Resources Group, Inc.

    6,575       200,406  

Mercury Systems, Inc. *

    1,601       81,843  

Mettler-Toledo International, Inc. *

    734       1,123,174  

Middleby Corp. *

    1,809       265,217  

Mohawk Industries, Inc. *

    1,809       181,298  

MSA Safety, Inc.

    1,273       169,945  

National Instruments Corp.

    4,438       232,596  

Nordson Corp.

    1,908       424,072  

nVent Electric PLC

    5,600       240,464  

Old Dominion Freight Line, Inc.

    3,315       1,129,885  

Oshkosh Corp.

    2,254       187,488  

Otis Worldwide Corp.

    13,914       1,174,342  

Owens Corning

    3,138       300,620  

Packaging Corp. of America

    3,045       422,737  

Parker-Hannifin Corp.

    4,271       1,435,526  

Pentair PLC

    5,536       305,975  

Regal Rexnord Corp.

    2,186       307,636  

Republic Services, Inc.

    6,882       930,584  

Rockwell Automation, Inc.

    3,833       1,124,794  

RXO, Inc. *

    3,697       72,609  

Ryder System, Inc.

    1,581       141,088  

Schneider National, Inc. Class B

    1,758       47,026  

Sealed Air Corp.

    4,953       227,392  

Sensata Technologies Holding PLC

    5,123       256,252  

Silgan Holdings, Inc.

    2,737       146,895  

Snap-on, Inc.

    1,754       433,045  

Sonoco Products Co.

    3,337       203,557  

Spirit AeroSystems Holdings, Inc. Class A

    3,397       117,298  

Stanley Black & Decker, Inc.

    4,927       397,018  

Stericycle, Inc. *

    2,983       130,089  

TD SYNNEX Corp.

    1,520       147,121  

Teledyne Technologies, Inc. *

    1,545       691,171  

Tetra Tech, Inc.

    1,778       261,206  

Textron, Inc.

    6,958       491,444  

Timken Co.

    2,115       172,838  

TopBuild Corp. *

    1,038       216,049  

Toro Co.

    3,484       387,281  

Trane Technologies PLC

    7,669       1,410,943  

TransDigm Group, Inc.

    1,714       1,263,304  

Trex Co., Inc. *

    3,783       184,119  

Trimble, Inc. *

    8,215       430,630  

Universal Display Corp.

    1,414       219,354  

Valmont Industries, Inc.

    684       218,388  

Vertiv Holdings Co.

    9,881       141,397  

Vontier Corp.

    5,139       140,500  

Vulcan Materials Co.

    4,418       757,952  

Westinghouse Air Brake Technologies Corp.

    6,040       610,402  

Westrock Co.

    8,589       261,707  

Woodward, Inc.

    1,990       193,766  

XPO, Inc. *

    3,332       106,291  

Xylem, Inc.

    5,977       625,792  
   

 

 

 
    47,403,167  
   

 

 

 

Technology - 12.6%

 

Akamai Technologies, Inc. *

    5,169       404,733  

Allegro MicroSystems, Inc. * (Japan)

    2,157       103,514  

Alteryx, Inc. Class A *

    1,954       114,973  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

252

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Amdocs Ltd.

    3,968       $381,047  

ANSYS, Inc. *

    2,903       966,118  

AppLovin Corp. Class A *

    7,123       112,187  

Aspen Technology, Inc. *

    924       211,476  

Bentley Systems, Inc. Class B

    5,712       245,559  

BILL Holdings, Inc. *

    3,344       271,332  

Black Knight, Inc. *

    5,197       299,139  

Broadridge Financial Solutions, Inc.

    3,893       570,597  

CACI International, Inc. Class A *

    787       233,172  

Cadence Design Systems, Inc. *

    9,105       1,912,870  

CCC Intelligent Solutions Holdings, Inc. *

    5,562       49,891  

Ceridian HCM Holding, Inc. *

    4,587       335,860  

Cirrus Logic, Inc. *

    1,784       195,134  

Cloudflare, Inc. Class A *

    9,437       581,885  

Concentrix Corp.

    1,461       177,585  

Confluent, Inc. Class A *

    4,043       97,315  

Crowdstrike Holdings, Inc. Class A *

    7,188       986,625  

Datadog, Inc. Class A *

    8,860       643,768  

Definitive Healthcare Corp. *

    1,330       13,739  

Dell Technologies, Inc. Class C

    7,937       319,147  

DocuSign, Inc. *

    6,592       384,314  

DoubleVerify Holdings, Inc. *

    2,795       84,269  

Doximity, Inc. Class A *

    3,638       117,798  

Dropbox, Inc. Class A *

    9,190       198,688  

DXC Technology Co. *

    7,888       201,617  

Dynatrace, Inc. *

    7,281       307,986  

Elastic NV *

    2,519       145,850  

Electronic Arts, Inc.

    9,122       1,098,745  

Entegris, Inc.

    4,952       406,114  

EPAM Systems, Inc. *

    1,831       547,469  

Fair Isaac Corp. *

    810       569,179  

Five9, Inc. *

    2,279       164,749  

Fortinet, Inc. *

    21,536       1,431,283  

Genpact Ltd.

    6,018       278,152  

GLOBALFOUNDRIES, Inc. *

    2,064       148,980  

Globant SA *

    1,325       217,313  

Guidewire Software, Inc. *

    2,787       228,673  

Hewlett Packard Enterprise Co.

    42,894       683,301  

HP, Inc.

    32,794       962,504  

HubSpot, Inc. *

    1,545       662,419  

Informatica, Inc. Class A *

    1,151       18,876  

IPG Photonics Corp. *

    1,061       130,832  

Jack Henry & Associates, Inc.

    2,426       365,647  

Jamf Holding Corp. *

    2,153       41,811  

KBR, Inc.

    4,616       254,111  

Kyndryl Holdings, Inc. *

    6,652       98,184  

Lattice Semiconductor Corp. *

    4,527       432,329  

Leidos Holdings, Inc.

    4,545       418,413  

Lumentum Holdings, Inc. *

    2,217       119,740  

Manhattan Associates, Inc. *

    2,084       322,707  

Microchip Technology, Inc.

    17,765       1,488,352  

MKS Instruments, Inc.

    1,971       174,670  

MongoDB, Inc. *

    2,213       515,895  

Monolithic Power Systems, Inc.

    1,530       765,826  

MSCI, Inc.

    2,593       1,451,276  

nCino, Inc. *

    2,267       56,176  

NCR Corp. *

    4,180       98,606  

NetApp, Inc.

    7,251       462,976  

New Relic, Inc. *

    1,734       130,553  

Nutanix, Inc. Class A *

    7,475       194,275  

ON Semiconductor Corp. *

    14,479       1,191,911  

Palantir Technologies, Inc. Class A *

    61,387       518,720  

Paychex, Inc.

    10,766       1,233,676  

Paycom Software, Inc. *

    1,708       519,249  

Paycor HCM, Inc. *

    2,158       57,230  

Pegasystems, Inc.

    1,346       65,254  

Playtika Holding Corp. *

    2,948       33,195  

Procore Technologies, Inc. *

    2,315       144,988  

PTC, Inc. *

    3,553       455,601  

Pure Storage, Inc. Class A *

    9,665       246,554  

Qorvo, Inc. *

    3,338       339,041  

RingCentral, Inc. Class A *

    2,773       85,048  
   

Shares

   

Value

 

ROBLOX Corp. Class A *

    14,929       $671,506  

Science Applications International Corp.

    1,789       192,246  

SentinelOne, Inc. Class A *

    6,216       101,694  

Skyworks Solutions, Inc.

    5,301       625,412  

Smartsheet, Inc. Class A *

    4,139       197,844  

Splunk, Inc. *

    5,429       520,533  

SS&C Technologies Holdings, Inc.

    7,362       415,732  

Synopsys, Inc. *

    5,089       1,965,626  

Take-Two Interactive Software, Inc. *

    5,515       657,940  

Teradata Corp. *

    3,331       134,173  

Teradyne, Inc.

    5,226       561,847  

Thoughtworks Holding, Inc. *

    3,591       26,430  

Twilio, Inc. Class A *

    5,817       387,587  

Tyler Technologies, Inc. *

    1,373       486,921  

UiPath, Inc. Class A *

    12,807       224,891  

Unity Software, Inc. *

    8,009       259,812  

Veeva Systems, Inc. Class A *

    4,650       854,624  

Western Digital Corp. *

    10,609       399,641  

Wolfspeed, Inc. *

    4,156       269,932  

Zebra Technologies Corp. Class A *

    1,722       547,596  

Zoom Video Communications, Inc. Class A *

    8,199       605,414  

ZoomInfo Technologies, Inc. *

    9,333       230,618  

Zscaler, Inc. *

    2,834       331,096  
   

 

 

 
    41,167,906  
   

 

 

 

Utilities - 5.6%

 

AES Corp.

    22,262       536,069  

Alliant Energy Corp.

    8,364       446,638  

Ameren Corp.

    8,589       742,004  

American Water Works Co., Inc.

    6,439       943,249  

Atmos Energy Corp.

    4,742       532,811  

Avangrid, Inc.

    2,307       92,003  

Brookfield Renewable Corp. Class A

    4,156       145,252  

CenterPoint Energy, Inc.

    21,027       619,455  

CMS Energy Corp.

    9,662       593,054  

Consolidated Edison, Inc.

    11,844       1,133,115  

Constellation Energy Corp.

    10,898       855,493  

DTE Energy Co.

    6,438       705,219  

Edison International

    12,548       885,763  

Entergy Corp.

    6,775       729,938  

Essential Utilities, Inc.

    7,749       338,244  

Evergy, Inc.

    7,418       453,388  

Eversource Energy

    11,501       900,068  

FirstEnergy Corp.

    18,122       725,967  

Hawaiian Electric Industries, Inc.

    3,541       135,974  

IDACORP, Inc.

    1,724       186,761  

National Fuel Gas Co.

    3,020       174,375  

NiSource, Inc.

    13,553       378,942  

NRG Energy, Inc.

    7,199       246,854  

OGE Energy Corp.

    6,757       254,469  

PG&E Corp. *

    54,946       888,477  

Pinnacle West Capital Corp.

    3,793       300,557  

PPL Corp.

    24,595       683,495  

Public Service Enterprise Group, Inc.

    16,618       1,037,794  

UGI Corp.

    7,077       245,997  

Vistra Corp.

    13,158       315,792  

WEC Energy Group, Inc.

    10,532       998,328  

Xcel Energy, Inc.

    18,202       1,227,543  
   

 

 

 
    18,453,088  
   

 

 

 

Total Common Stocks
(Cost $323,633,224)

      322,061,354  
   

 

 

 

EXCHANGE-TRADED FUND - 0.9%

 

iShares Russell Mid-Cap

    43,121       3,015,020  
   

 

 

 

Total Exchange-Traded Fund
(Cost $2,930,093)

      3,015,020  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

253

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 0.7%

 

Repurchase Agreement - 0.7%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $2,347,859; collateralized by U.S. Treasury Notes: 2.875% due 06/15/2025 and value $2,394,020)

    $2,346,989       $2,346,989  
   

 

 

 

Total Short-Term Investment
(Cost $2,346,989)

      2,346,989  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $328,910,306)

      327,423,363  
   

 

 

 

DERIVATIVES - 0.0%

      131,599  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.1%

      314,624  
   

 

 

 

NET ASSETS - 100.0%

      $327,869,586  
   

 

 

 

Notes to Schedule of Investments

 

(a)

An investment with a value of $8,878 or less than 0.1% of the Fund’s net assets was valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or to the Board of Trustees.

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

254

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(b)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
     Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

S&P 500 E-Mini Index

     06/23        5        $981,557        $1,034,438        $52,881  

S&P MID 400 E-Mini Index

     06/23        8        1,945,042        2,023,760        78,718  
              

 

 

 

Total Futures Contracts

 

     $131,599  
              

 

 

 

 

(c)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $12,810,547        $12,810,547        $-        $-  
 

Communications

     19,884,152        19,884,152        -        -  
 

Consumer, Cyclical

     46,114,027        46,114,027        -        -  
 

Consumer, Non-Cyclical

     58,770,688        58,770,688        -        -  
 

Energy

     17,139,336        17,139,336        -        -  
 

Financial

     60,318,443        60,318,443        -        -  
 

Industrial

     47,403,167        47,394,289        8,878        -  
 

Technology

     41,167,906        41,167,906        -        -  
 

Utilities

     18,453,088        18,453,088        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     322,061,354        322,052,476        8,878        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Fund

     3,015,020        3,015,020        -        -  
 

Short-Term Investment

     2,346,989        -        2,346,989        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     131,599        131,599        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $327,554,962        $325,199,095        $2,355,867        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

255

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

RIGHTS - 0.0%

 

Consumer, Non-Cyclical - 0.0%

 

Contra Aduro Biotechnologies, Inc. - Contingent Value Rights * W ±

    758       $ 1,924  

Gtx, Inc. - Contingent Value Rights * W ±

    33       34  

OmniAb, Inc. $12.50 - Earn Out Shares * W ±

    40       -  

OmniAb, Inc. $15.00 - Earn Out Shares * W ±

    40       -  
   

 

 

 
      1,958  
   

 

 

 

Total Rights
(Cost $68)

      1,958  
   

 

 

 

COMMON STOCKS - 98.3%

 

Basic Materials - 4.2%

 

5E Advanced Materials, Inc. *

    2,806       15,209  

AdvanSix, Inc.

    645       24,684  

American Vanguard Corp.

    1,744       38,159  

Amyris, Inc. *

    1,358       1,847  

ATI, Inc. *

    8,944       352,930  

Avient Corp.

    4,821       198,432  

Balchem Corp.

    2,296       290,398  

Cabot Corp.

    4,007       307,097  

Century Aluminum Co. *

    3,692       36,920  

Codexis, Inc. *

    4,410       18,257  

Commercial Metals Co.

    1,426       69,731  

Compass Minerals International, Inc.

    2,537       86,994  

Constellium SE *

    4,954       75,697  

Dakota Gold Corp. *

    3,713       13,441  

Diversey Holdings Ltd. *

    5,554       44,932  

Energy Fuels, Inc. *

    9,211       51,397  

Hawkins, Inc.

    853       37,344  

HB Fuller Co.

    3,348       229,171  

Hycroft Mining Holding Corp. *

    7,248       3,134  

Ingevity Corp. *

    2,707       193,605  

Innospec, Inc.

    1,508       154,826  

Ivanhoe Electric, Inc. *

    1,581       19,209  

Kaiser Aluminum Corp.

    1,132       84,481  

Kronos Worldwide, Inc.

    1,597       14,708  

Lightwave Logic, Inc. *

    8,034       42,018  

Livent Corp. *

    11,678       253,646  

Mativ Holdings, Inc.

    326       6,999  

Novagold Resources, Inc. *

    16,646       103,538  

Origin Materials, Inc. *

    4,667       19,928  

Orion Engineered Carbons SA

    4,386       114,431  

Piedmont Lithium, Inc. *

    343       20,597  

Quaker Chemical Corp.

    651       128,866  

Rogers Corp. *

    1,368       223,572  

Schnitzer Steel Industries, Inc. Class A

    218       6,780  

Sensient Technologies Corp.

    2,886       220,952  

Stepan Co.

    182       18,752  

Sylvamo Corp.

    2,346       108,526  

Terawulf, Inc. *

    4,103       3,848  

Ur-Energy, Inc. *

    13,844       14,675  

Uranium Energy Corp. *

    26,195       75,442  

US Lime & Minerals, Inc.

    118       18,017  
   

 

 

 
    3,743,190  
   

 

 

 

Communications - 4.5%

 

A10 Networks, Inc.

    3,657       56,647  

AdTheorent Holding Co., Inc. *

    3,626       6,128  

ADTRAN Holdings, Inc.

    4,988       79,110  

Allbirds, Inc. Class A *

    1,424       1,709  

Anterix, Inc. *

    421       13,910  

Arena Group Holdings, Inc. *

    488       2,074  
   

Shares

   

Value

 

Boston Omaha Corp. Class A *

    81       $ 1,917  

Calix, Inc. *

    3,269       175,186  

Cambium Networks Corp. *

    843       14,938  

Cargurus, Inc. *

    7,385       137,952  

CarParts.com, Inc. *

    3,545       18,930  

Cars.com, Inc. *

    640       12,352  

Casa Systems, Inc. *

    1,956       2,484  

Clearfield, Inc. *

    912       42,481  

Cogent Communications Holdings, Inc.

    1,682       107,177  

CommScope Holding Co., Inc. *

    15,049       95,862  

Consolidated Communications Holdings, Inc. *

    375       968  

Couchbase, Inc. *

    2,026       28,486  

Credo Technology Group Holding Ltd. *

    6,993       65,874  

Cyxtera Technologies, Inc. *

    2,153       658  

DHI Group, Inc. *

    2,764       10,724  

DigitalBridge Group, Inc.

    10,223       122,574  

DZS, Inc. *

    1,471       11,606  

Edgio, Inc. *

    9,928       7,854  

Entravision Communications Corp. Class A

    2,995       18,120  

ePlus, Inc. *

    1,458       71,500  

Eventbrite, Inc. Class A *

    4,873       41,810  

EverQuote, Inc. Class A *

    1,414       19,655  

Extreme Networks, Inc. *

    8,963       171,373  

Figs, Inc. Class A *

    7,714       47,750  

Focus Universal, Inc. *

    2,484       6,210  

Gambling.com Group Ltd. *

    750       7,432  

Globalstar, Inc. *

    40,985       47,543  

Gogo, Inc. *

    237       3,437  

Gray Television, Inc.

    2,609       22,750  

Groupon, Inc. *

    117       493  

Harmonic, Inc. *

    6,786       99,008  

HealthStream, Inc. *

    112       3,035  

Hims & Hers Health, Inc. *

    7,538       74,777  

IDT Corp. Class B *

    787       26,821  

Infinera Corp. *

    14,137       109,703  

Innovid Corp. *

    5,714       8,057  

Inseego Corp. *

    1,096       638  

InterDigital, Inc.

    792       57,737  

Iridium Communications, Inc.

    9,009       557,927  

Liquidity Services, Inc. *

    854       11,247  

Lulu’s Fashion Lounge Holdings, Inc. *

    953       2,268  

Marqeta, Inc. Class A *

    31,525       144,069  

MediaAlpha, Inc. Class A *

    1,743       26,110  

Nerdy, Inc. *

    3,911       16,348  

Ondas Holdings, Inc. *

    2,127       2,297  

Ooma, Inc. *

    1,719       21,505  

Open Lending Corp. Class A *

    7,558       53,208  

OptimizeRx Corp. *

    1,186       17,351  

Perficient, Inc. *

    2,469       178,237  

Planet Labs PBC *

    12,128       47,663  

Q2 Holdings, Inc. *

    4,031       99,243  

QuinStreet, Inc. *

    182       2,888  

Quotient Technology, Inc. *

    913       2,995  

RealReal, Inc. *

    801       1,009  

Revolve Group, Inc. *

    3,018       79,373  

Rover Group, Inc. *

    6,312       28,593  

Shutterstock, Inc.

    1,733       125,816  

Sinclair Broadcast Group, Inc. Class A

    2,896       49,695  

Squarespace, Inc. Class A *

    530       16,838  

Stagwell, Inc. *

    412       3,057  

Stitch Fix, Inc. Class A *

    2,375       12,136  

TechTarget, Inc. *

    1,932       69,784  

Thryv Holdings, Inc. *

    489       11,276  

Tucows, Inc. Class A *

    706       13,732  

Upwork, Inc. *

    8,932       101,110  

Value Line, Inc.

    55       2,658  

Viavi Solutions, Inc. *

    16,313       176,670  

Vivid Seats, Inc. Class A *

    360       2,747  

WideOpenWest, Inc. *

    2,225       23,652  

Yelp, Inc. *

    4,894       150,246  

Ziff Davis, Inc. *

    619       48,313  
   

 

 

 
    3,955,511  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

256

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Consumer, Cyclical - 12.0%

 

 

Accel Entertainment, Inc. *

    3,951       $ 35,994  

Acushnet Holdings Corp.

    674       34,334  

Aeva Technologies, Inc. *

    421       501  

Allegiant Travel Co. *

    489       44,978  

American Axle & Manufacturing Holdings, Inc. *

    350       2,734  

Arko Corp.

    5,984       50,804  

Asbury Automotive Group, Inc. *

    466       97,860  

Aspen Aerogels, Inc. *

    3,581       26,678  

Aterian, Inc. *

    297       255  

Beacon Roofing Supply, Inc. *

    2,609       153,540  

Bed Bath & Beyond, Inc. *

    5,686       2,430  

Bloomin’ Brands, Inc.

    4,606       118,144  

Blue Bird Corp. *

    1,242       25,374  

Bluegreen Vacations Holding Corp.

    142       3,888  

Boot Barn Holdings, Inc. *

    2,132       163,397  

Brinker International, Inc. *

    2,845       108,110  

Buckle, Inc.

    2,046       73,022  

Build-A-Bear Workshop, Inc.

    676       15,710  

Caleres, Inc.

    2,432       52,604  

Camping World Holdings, Inc. Class A

    2,865       59,793  

Canoo, Inc. *

    20,503       13,380  

Cavco Industries, Inc. *

    628       199,541  

Century Casinos, Inc. *

    1,542       11,303  

Century Communities, Inc.

    160       10,227  

Cepton, Inc. *

    2,201       1,022  

Cheesecake Factory, Inc.

    3,524       123,516  

Chico’s FAS, Inc. *

    6,215       34,183  

Children’s Place, Inc. *

    555       22,339  

Cinemark Holdings, Inc. *

    6,320       93,473  

Citi Trends, Inc. *

    25       476  

Clarus Corp.

    1,383       13,069  

Cracker Barrel Old Country Store, Inc.

    1,598       181,533  

Crocs, Inc. *

    4,372       552,796  

Dave & Buster’s Entertainment, Inc. *

    3,124       114,932  

Denny’s Corp. *

    2,848       31,784  

Designer Brands, Inc. Class A

    2,566       22,427  

Destination XL Group, Inc. *

    2,111       11,632  

Dillard’s, Inc. Class A

    289       88,920  

Dine Brands Global, Inc.

    928       62,770  

Dorman Products, Inc. *

    1,905       164,325  

Douglas Dynamics, Inc.

    1,614       51,470  

Dream Finders Homes, Inc. Class A *

    1,475       19,544  

Duluth Holdings, Inc. Class B *

    353       2,252  

Ermenegildo Zegna NV

    935       12,753  

Everi Holdings, Inc. *

    3,463       59,390  

EVgo, Inc. *

    852       6,637  

F45 Training Holdings, Inc. *

    3,716       4,311  

First Watch Restaurant Group, Inc. *

    464       7,452  

FirstCash, Inc.

    1,374       131,038  

Fisker, Inc. *

    13,024       79,967  

Forestar Group, Inc. *

    430       6,691  

Fox Factory Holding Corp. *

    3,057       371,028  

Franchise Group, Inc.

    1,739       47,388  

Frontier Group Holdings, Inc. *

    2,622       25,801  

Full House Resorts, Inc. *

    834       6,030  

Funko, Inc. Class A *

    2,283       21,529  

Gentherm, Inc. *

    2,401       145,068  

Global Industrial Co.

    701       18,815  

GMS, Inc. *

    3,014       174,480  

Golden Entertainment, Inc. *

    1,483       64,525  

Green Brick Partners, Inc. *

    521       18,266  

Guess?, Inc.

    2,302       44,797  

H&E Equipment Services, Inc.

    2,332       103,144  

Hibbett, Inc.

    742       43,763  

Hilton Grand Vacations, Inc. *

    6,189       274,977  

HNI Corp.

    2,991       83,269  

Holley, Inc. *

    3,863       10,585  
   

Shares

   

Value

 

Hovnanian Enterprises, Inc. Class A *

    342       $ 23,201  

Hudson Technologies, Inc. *

    3,039       26,530  

Hyzon Motors, Inc. *

    7,505       6,117  

IMAX Corp. *

    2,035       39,031  

indie Semiconductor, Inc. Class A *

    7,861       82,934  

Installed Building Products, Inc.

    1,715       195,561  

Interface, Inc.

    3,344       27,153  

International Game Technology PLC

    1,645       44,086  

iRobot Corp. *

    1,748       76,283  

Jack in the Box, Inc.

    200       17,518  

KB Home

    993       39,899  

Kontoor Brands, Inc.

    4,003       193,705  

Kura Sushi USA, Inc. Class A *

    327       21,530  

LCI Industries

    1,790       196,667  

LGI Homes, Inc. *

    102       11,631  

Liberty Media Corp. - Liberty Braves Class A *

    772       26,696  

Liberty Media Corp. - Liberty Braves Class C *

    2,711       91,334  

Lightning eMotors, Inc. *

    2,246       643  

Lindblad Expeditions Holdings, Inc. *

    142       1,358  

Lovesac Co. *

    991       28,640  

Luminar Technologies, Inc. *

    18,124       117,625  

M/I Homes, Inc. *

    254       16,025  

Malibu Boats, Inc. Class A *

    1,497       84,506  

Marine Products Corp.

    692       9,128  

MarineMax, Inc. *

    96       2,760  

MasterCraft Boat Holdings, Inc. *

    1,310       39,863  

MDC Holdings, Inc.

    1,086       42,213  

Meritage Homes Corp.

    184       21,484  

Microvast Holdings, Inc. *

    7,724       9,578  

Miller Industries, Inc.

    44       1,555  

Monarch Casino & Resort, Inc.

    981       72,741  

MRC Global, Inc. *

    5,931       57,649  

Mullen Automotive, Inc. *

    74,166       9,738  

Murphy USA, Inc.

    1,451       374,431  

National Vision Holdings, Inc. *

    398       7,498  

NEOGAMES SA *

    926       14,075  

Nikola Corp. *

    22,520       27,249  

Noodles & Co. *

    2,893       14,031  

Nu Skin Enterprises, Inc. Class A

    1,480       58,179  

ONE Group Hospitality, Inc. *

    1,655       13,406  

OneSpaWorld Holdings Ltd. *

    4,904       58,799  

OneWater Marine, Inc. Class A *

    136       3,804  

Oxford Industries, Inc.

    760       80,248  

Papa John’s International, Inc.

    1,709       128,055  

Patrick Industries, Inc.

    164       11,285  

PetMed Express, Inc.

    1,272       20,657  

Portillo’s, Inc. Class A *

    2,280       48,724  

PriceSmart, Inc.

    1,186       84,775  

Proterra, Inc. *

    7,327       11,137  

Purple Innovation, Inc. *

    198       523  

RCI Hospitality Holdings, Inc.

    595       46,511  

Red Rock Resorts, Inc. Class A

    1,676       74,699  

Reservoir Media, Inc. *

    1,516       9,884  

Rite Aid Corp. *

    2,409       5,396  

Rocky Brands, Inc.

    24       554  

Rush Street Interactive, Inc. *

    4,373       13,600  

Ruth’s Hospitality Group, Inc.

    2,234       36,682  

Sally Beauty Holdings, Inc. *

    7,233       112,690  

SeaWorld Entertainment, Inc. *

    1,462       89,635  

Shake Shack, Inc. Class A *

    2,715       150,655  

Shyft Group, Inc.

    2,459       55,942  

Skyline Champion Corp. *

    3,843       289,109  

Sleep Number Corp. *

    688       20,922  

Solid Power, Inc. *

    3,901       11,742  

Sonder Holdings, Inc. *

    13,703       10,375  

Sonos, Inc. *

    9,212       180,739  

Sovos Brands, Inc. *

    1,927       32,142  

Steven Madden Ltd.

    5,546       199,656  

Sun Country Airlines Holdings, Inc. *

    2,480       50,840  

Sweetgreen, Inc. Class A *

    6,329       49,619  

Taylor Morrison Home Corp. *

    958       36,653  

Texas Roadhouse, Inc.

    4,832       522,146  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

257

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

ThredUp, Inc. Class A *

    414       $ 1,047  

Titan International, Inc. *

    3,633       38,074  

Torrid Holdings, Inc. *

    483       2,106  

Tri Pointe Homes, Inc. *

    607       15,369  

Veritiv Corp.

    954       128,924  

Vinco Ventures, Inc. *

    7,547       2,425  

Virgin Galactic Holdings, Inc. *

    8,284       33,550  

Visteon Corp. *

    2,005       314,444  

Vizio Holding Corp. Class A *

    5,087       46,699  

Wabash National Corp.

    3,039       74,729  

Warby Parker, Inc. Class A *

    5,963       63,148  

Wingstop, Inc.

    2,160       396,533  

Wolverine World Wide, Inc.

    5,660       96,503  

Workhorse Group, Inc. *

    10,249       13,631  

Xos, Inc. *

    3,139       1,648  

XPEL, Inc. *

    1,567       106,478  

Xponential Fitness, Inc. Class A *

    435       13,220  
   

 

 

 
    10,599,745  
   

 

 

 

Consumer, Non-Cyclical - 29.2%

 

22nd Century Group, Inc. *

    12,145       9,340  

23andMe Holding Co. Class A *

    7,925       18,069  

Aadi Bioscience, Inc. *

    1,139       8,246  

AbCellera Biologics, Inc. *

    6,591       49,696  

ACADIA Pharmaceuticals, Inc. *

    8,670       163,169  

Aclaris Therapeutics, Inc. *

    4,598       37,198  

Acrivon Therapeutics, Inc. *

    251       3,185  

Adaptive Biotechnologies Corp. *

    326       2,879  

Addus HomeCare Corp. *

    441       47,081  

ADMA Biologics, Inc. *

    6,507       21,538  

Affimed NV *

    10,968       8,178  

Agenus, Inc. *

    21,679       32,952  

Agiliti, Inc. *

    1,990       31,800  

AirSculpt Technologies, Inc.

    710       3,578  

Akero Therapeutics, Inc. *

    200       7,652  

Akoya Biosciences, Inc. *

    1,199       9,808  

Alarm.com Holdings, Inc. *

    3,497       175,829  

Alector, Inc. *

    4,473       27,688  

Alkermes PLC *

    11,747       331,148  

Alphatec Holdings, Inc. *

    4,757       74,209  

Alpine Immune Sciences, Inc. *

    866       6,686  

Alta Equipment Group, Inc.

    406       6,435  

Amicus Therapeutics, Inc. *

    19,869       220,347  

AMN Healthcare Services, Inc. *

    3,118       258,669  

Amneal Pharmaceuticals, Inc. *

    7,803       10,846  

Amphastar Pharmaceuticals, Inc. *

    2,784       104,400  

Amylyx Pharmaceuticals, Inc. *

    693       20,333  

AN2 Therapeutics, Inc. *

    82       809  

Anavex Life Sciences Corp. *

    4,912       42,096  

Apellis Pharmaceuticals, Inc. *

    6,756       445,626  

Arbutus Biopharma Corp. *

    4,402       13,338  

Arcturus Therapeutics Holdings, Inc. *

    1,510       36,195  

Arcutis Biotherapeutics, Inc. *

    2,960       32,560  

Arlo Technologies, Inc. *

    6,166       37,366  

Arrowhead Pharmaceuticals, Inc. *

    7,416       188,366  

Artivion, Inc. *

    2,363       30,955  

Arvinas, Inc. *

    3,549       96,959  

ASGN, Inc. *

    3,535       292,238  

Atara Biotherapeutics, Inc. *

    408       1,183  

AtriCure, Inc. *

    2,125       88,081  

Atrion Corp.

    97       60,907  

Aura Biosciences, Inc. *

    1,671       15,507  

Aurinia Pharmaceuticals, Inc. *

    9,787       107,266  

Avid Bioservices, Inc. *

    4,469       83,838  

Axogen, Inc. *

    2,897       27,377  

Axonics, Inc. *

    3,532       192,706  

Axsome Therapeutics, Inc. *

    2,313       142,666  

Babylon Holdings Ltd. Class A *

    249       1,267  

Barrett Business Services, Inc.

    452       40,065  

Beachbody Co., Inc. *

    796       384  

Beam Therapeutics, Inc. *

    4,597       140,760  
   

Shares

   

Value

 

Beauty Health Co. *

    5,556       $ 70,172  

BellRing Brands, Inc. *

    9,637       327,658  

Benson Hill, Inc. *

    6,431       7,396  

Beyond Meat, Inc. *

    4,382       71,120  

BioCryst Pharmaceuticals, Inc. *

    9,416       78,529  

Biohaven Ltd. *

    2,795       38,180  

BioLife Solutions, Inc. *

    147       3,197  

Blueprint Medicines Corp. *

    4,305       193,682  

BRC, Inc. Class A *

    1,980       10,177  

Bridgebio Pharma, Inc. *

    4,841       80,264  

Brink’s Co.

    3,266       218,169  

Cal-Maine Foods, Inc.

    2,530       154,052  

Calavo Growers, Inc.

    1,260       36,250  

Cano Health, Inc. *

    11,683       10,632  

Cardiovascular Systems, Inc. *

    1,573       31,240  

CareDx, Inc. *

    3,642       33,288  

Carriage Services, Inc.

    942       28,750  

Cass Information Systems, Inc.

    194       8,402  

Cassava Sciences, Inc. *

    2,807       67,705  

Catalyst Pharmaceuticals, Inc. *

    7,031       116,574  

CBIZ, Inc. *

    3,434       169,949  

Celldex Therapeutics, Inc. *

    687       24,718  

Celsius Holdings, Inc. *

    4,003       372,039  

Celularity, Inc. *

    3,441       2,132  

Central Garden & Pet Co. *

    263       10,799  

Central Garden & Pet Co. Class A *

    1,127       44,032  

Cerevel Therapeutics Holdings, Inc. *

    4,176       101,853  

Cerus Corp. *

    12,357       36,700  

Chefs’ Warehouse, Inc. *

    1,714       58,362  

Chegg, Inc. *

    9,005       146,781  

Chimerix, Inc. *

    5,072       6,391  

Cimpress PLC *

    1,261       55,257  

Clover Health Investments Corp. *

    27,686       23,397  

Coca-Cola Consolidated, Inc.

    340       181,927  

Coherus Biosciences, Inc. *

    5,267       36,026  

Collegium Pharmaceutical, Inc. *

    2,477       59,423  

CompoSecure, Inc. *

    385       2,834  

CONMED Corp.

    2,108       218,937  

Corcept Therapeutics, Inc. *

    6,260       135,592  

CorVel Corp. *

    635       120,828  

Coursera, Inc. *

    8,334       96,008  

CRA International, Inc.

    498       53,694  

Crinetics Pharmaceuticals, Inc. *

    564       9,058  

Cross Country Healthcare, Inc. *

    377       8,415  

CTI BioPharma Corp. *

    1,727       7,253  

Custom Truck One Source, Inc. *

    1,625       11,034  

Cutera, Inc. *

    1,185       27,990  

Cytek Biosciences, Inc. *

    8,387       77,077  

Cytokinetics, Inc. *

    5,347       188,161  

Deciphera Pharmaceuticals, Inc. *

    1,051       16,238  

Denali Therapeutics, Inc. *

    7,841       180,657  

Distribution Solutions Group, Inc. *

    319       14,502  

DocGo, Inc. *

    6,162       53,301  

Duckhorn Portfolio, Inc. *

    3,032       48,209  

Dynavax Technologies Corp. *

    8,721       85,553  

Eagle Pharmaceuticals, Inc. *

    741       21,022  

Eiger BioPharmaceuticals, Inc. *

    2,204       1,977  

elf Beauty, Inc. *

    3,543       291,766  

Embecta Corp.

    3,623       101,879  

Enanta Pharmaceuticals, Inc. *

    173       6,996  

Ensign Group, Inc.

    3,881       370,791  

Esperion Therapeutics, Inc. *

    5,281       8,397  

European Wax Center, Inc. Class A

    1,599       30,381  

EVERTEC, Inc.

    4,438       149,782  

Evolus, Inc. *

    2,506       21,201  

EyePoint Pharmaceuticals, Inc. *

    682       2,005  

Fate Therapeutics, Inc. *

    5,943       33,875  

FibroGen, Inc. *

    5,643       105,298  

First Advantage Corp. *

    442       6,170  

Flywire Corp. *

    4,132       121,316  

Foghorn Therapeutics, Inc. *

    1,657       10,273  

Forrester Research, Inc. *

    833       26,948  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

258

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Franklin Covey Co. *

    871       $33,507  

Fresh Market, Inc. * W ±

    5,869       -  

Gelesis Holdings, Inc. *

    599       97  

Geron Corp. *

    21,959       47,651  

Glaukos Corp. *

    3,310       165,831  

Gossamer Bio, Inc. *

    5,487       6,914  

Green Dot Corp. Class A *

    323       5,549  

GreenLight Biosciences Holdings PBC *

    5,035       2,177  

Hackett Group, Inc.

    1,575       29,106  

Haemonetics Corp. *

    3,612       298,893  

Halozyme Therapeutics, Inc. *

    9,596       366,471  

Harmony Biosciences Holdings, Inc. *

    1,919       62,655  

Healthcare Services Group, Inc.

    2,582       35,812  

HealthEquity, Inc. *

    5,981       351,145  

Helen of Troy Ltd. *

    1,722       163,883  

Herbalife Nutrition Ltd. *

    4,774       76,861  

Herc Holdings, Inc.

    1,811       206,273  

Heron Therapeutics, Inc. *

    7,399       11,172  

Heska Corp. *

    690       67,358  

HilleVax, Inc. *

    341       5,637  

Humacyte, Inc. *

    4,214       13,021  

Huron Consulting Group, Inc. *

    843       67,752  

I3 Verticals, Inc. Class A *

    1,642       40,278  

ICF International, Inc.

    931       102,131  

IGM Biosciences, Inc. *

    606       8,326  

ImmunityBio, Inc. *

    5,351       9,739  

ImmunoGen, Inc. *

    7,571       29,073  

Inari Medical, Inc. *

    3,167       195,531  

Information Services Group, Inc.

    1,464       7,452  

Inhibrx, Inc. *

    2,316       43,703  

Innovage Holding Corp. *

    127       1,013  

Innoviva, Inc. *

    4,510       50,738  

Inogen, Inc. *

    71       886  

Insmed, Inc. *

    9,739       166,050  

Insperity, Inc.

    2,583       313,964  

Inspire Medical Systems, Inc. *

    2,060       482,184  

Intellia Therapeutics, Inc. *

    3,922       146,173  

Inter Parfums, Inc.

    1,293       183,916  

Intercept Pharmaceuticals, Inc. *

    1,742       23,395  

Intra-Cellular Therapies, Inc. *

    6,601       357,444  

iRadimed Corp.

    508       19,990  

iRhythm Technologies, Inc. *

    2,173       269,517  

Ironwood Pharmaceuticals, Inc. *

    9,962       104,800  

IVERIC bio, Inc. *

    9,839       239,383  

J & J Snack Foods Corp.

    1,108       164,228  

John B Sanfilippo & Son, Inc.

    400       38,768  

John Wiley & Sons, Inc. Class A

    2,901       112,472  

Joint Corp. *

    1,010       16,998  

Karuna Therapeutics, Inc. *

    2,335       424,129  

Karyopharm Therapeutics, Inc. *

    5,553       21,601  

Keros Therapeutics, Inc. *

    1,354       57,816  

Kforce, Inc.

    1,454       91,951  

Kiniksa Pharmaceuticals Ltd. Class A *

    2,087       22,456  

Korn Ferry

    3,786       195,888  

Krispy Kreme, Inc.

    1,337       20,790  

Krystal Biotech, Inc. *

    506       40,510  

Lancaster Colony Corp.

    1,184       240,210  

Lantheus Holdings, Inc. *

    4,923       406,443  

Leafly Holdings, Inc. *

    1,319       527  

Legalzoom.com, Inc. *

    7,106       66,654  

LeMaitre Vascular, Inc.

    1,394       71,749  

Lexicon Pharmaceuticals, Inc. *

    2,764       6,717  

LifeStance Health Group, Inc. *

    274       2,036  

Ligand Pharmaceuticals, Inc. *

    142       10,446  

Liquidia Corp. *

    2,122       14,663  

LivaNova PLC *

    2,941       128,169  

Local Bounti Corp. *

    3,687       2,939  

Madrigal Pharmaceuticals, Inc. *

    917       222,152  

MannKind Corp. *

    2,244       9,200  

MarketWise, Inc. *

    361       668  

Medifast, Inc.

    804       83,351  

Medpace Holdings, Inc. *

    1,829       343,943  
   

Shares

   

Value

 

MeiraGTx Holdings PLC *

    107       $553  

Merit Medical Systems, Inc. *

    3,466       256,311  

MGP Ingredients, Inc.

    1,027       99,331  

Mineralys Therapeutics, Inc. *

    360       5,638  

Mirum Pharmaceuticals, Inc. *

    1,306       31,370  

Mission Produce, Inc. *

    324       3,600  

ModivCare, Inc. *

    289       24,299  

Moneylion, Inc. *

    548       311  

Morphic Holding, Inc. *

    1,618       60,902  

Nano-X Imaging Ltd. *

    217       1,252  

NanoString Technologies, Inc. *

    2,990       29,601  

National Beverage Corp. *

    1,735       91,469  

National Research Corp.

    1,006       43,771  

Natural Grocers by Vitamin Cottage, Inc.

    703       8,260  

Neogen Corp. *

    14,366       266,058  

Nevro Corp. *

    2,585       93,448  

NGM Biopharmaceuticals, Inc. *

    2,051       8,368  

NuVasive, Inc. *

    3,718       153,591  

Ocugen, Inc. *

    15,526       13,245  

Ocular Therapeutix, Inc. *

    5,441       28,674  

OmniAb, Inc. *

    524       1,928  

Omnicell, Inc. *

    3,205       188,037  

Oncology Institute, Inc. *

    2,011       1,363  

Option Care Health, Inc. *

    12,043       382,606  

Organogenesis Holdings, Inc. *

    5,039       10,733  

OrthoPediatrics Corp. *

    1,088       48,188  

Outlook Therapeutics, Inc. *

    10,920       11,903  

Owens & Minor, Inc. *

    683       9,938  

Owlet, Inc. *

    8,438       2,737  

P3 Health Partners, Inc. *

    793       841  

Pacira BioSciences, Inc. *

    3,273       133,571  

Paragon 28, Inc. *

    3,607       61,571  

Patterson Cos., Inc.

    4,924       131,815  

Payoneer Global, Inc. *

    15,636       98,194  

Pennant Group, Inc. *

    1,835       26,204  

PepGen, Inc. *

    170       2,079  

PetIQ, Inc. *

    1,530       17,503  

Phathom Pharmaceuticals, Inc. *

    1,770       12,638  

Phibro Animal Health Corp. Class A

    1,357       20,789  

Point Biopharma Global, Inc. SPAC *

    6,107       44,398  

Praxis Precision Medicines, Inc. *

    245       198  

Precigen, Inc. *

    7,310       7,749  

Prime Medicine, Inc. *

    285       3,506  

Priority Technology Holdings, Inc. *

    1,041       3,737  

PROCEPT BioRobotics Corp. *

    1,924       54,642  

PROG Holdings, Inc. *

    570       13,560  

Progyny, Inc. *

    5,445       174,893  

Prometheus Biosciences, Inc. *

    2,507       269,051  

Prothena Corp. PLC *

    2,828       137,073  

Provention Bio, Inc. *

    3,932       94,761  

PTC Therapeutics, Inc. *

    3,826       185,331  

Pulmonx Corp. *

    2,433       27,201  

Quanterix Corp. *

    259       2,919  

R1 RCM, Inc. *

    10,861       162,915  

RadNet, Inc. *

    3,646       91,259  

Rallybio Corp. *

    1,378       7,868  

RAPT Therapeutics, Inc. *

    1,459       26,773  

Reata Pharmaceuticals, Inc. Class A *

    1,667       151,564  

Recursion Pharmaceuticals, Inc. Class A *

    1,045       6,970  

Relay Therapeutics, Inc. *

    545       8,976  

Relmada Therapeutics, Inc. *

    1,166       2,635  

Remitly Global, Inc. *

    7,254       122,955  

Rent the Runway, Inc. Class A *

    3,516       10,021  

Revance Therapeutics, Inc. *

    5,817       187,366  

REVOLUTION Medicines, Inc. *

    887       19,212  

Rigel Pharmaceuticals, Inc. *

    12,239       16,155  

RxSight, Inc. *

    1,579       26,338  

Sabre Corp. *

    4,940       21,193  

Sangamo Therapeutics, Inc. *

    385       678  

Science 37 Holdings, Inc. *

    3,229       909  

Scilex Holding Co. *

    509       4,174  

Select Medical Holdings Corp.

    6,372       164,716  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

259

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Senseonics Holdings, Inc. *

    33,720       $23,941  

Seres Therapeutics, Inc. *

    5,007       28,390  

Shockwave Medical, Inc. *

    2,565       556,169  

ShotSpotter, Inc. *

    639       25,125  

SI-BONE, Inc. *

    2,416       47,523  

SIGA Technologies, Inc.

    3,369       19,372  

Silk Road Medical, Inc. *

    2,725       106,629  

Simply Good Foods Co. *

    6,400       254,528  

SomaLogic, Inc. *

    1,090       2,780  

SP Plus Corp. *

    1,453       49,823  

SpringWorks Therapeutics, Inc. *

    505       12,999  

Sprouts Farmers Market, Inc. *

    7,635       267,454  

STAAR Surgical Co. *

    3,455       220,947  

Sterling Check Corp. *

    1,588       17,706  

StoneCo Ltd. Class A *

    10,520       100,361  

Stride, Inc. *

    3,050       119,712  

SunOpta, Inc. *

    6,468       49,804  

Surgery Partners, Inc. *

    3,318       114,371  

Surmodics, Inc. *

    1,001       22,803  

Syndax Pharmaceuticals, Inc. *

    1,000       21,120  

Tactile Systems Technology, Inc. *

    543       8,916  

Target Hospitality Corp. *

    2,062       27,095  

Tattooed Chef, Inc. *

    2,711       3,850  

Tenon Medical, Inc. *

    333       589  

Textainer Group Holdings Ltd.

    437       14,032  

TG Therapeutics, Inc. *

    9,621       144,700  

Theravance Biopharma, Inc. *

    4,118       44,680  

Third Harmonic Bio, Inc. *

    305       1,257  

Thorne HealthTech, Inc. *

    1,329       6,140  

Tootsie Roll Industries, Inc.

    1,000       44,909  

Transcat, Inc. *

    509       45,500  

TransMedics Group, Inc. *

    2,198       166,455  

Travere Therapeutics, Inc. *

    3,996       89,870  

Treace Medical Concepts, Inc. *

    2,714       68,366  

TriNet Group, Inc. *

    2,701       217,728  

Turning Point Brands, Inc.

    1,067       22,407  

Twist Bioscience Corp. *

    2,814       42,435  

Udemy, Inc. *

    5,191       45,837  

UFP Technologies, Inc. *

    508       65,959  

United Natural Foods, Inc. *

    342       9,012  

Universal Technical Institute, Inc. *

    2,278       16,812  

Upbound Group, Inc.

    3,650       89,461  

US Physical Therapy, Inc.

    943       92,329  

USANA Health Sciences, Inc. *

    822       51,704  

Utah Medical Products, Inc.

    228       21,608  

Utz Brands, Inc.

    4,062       66,901  

Vaxart, Inc. *

    1,463       1,107  

Vaxcyte, Inc. *

    5,167       193,659  

Vector Group Ltd.

    1,464       17,583  

Ventyx Biosciences, Inc. *

    1,830       61,305  

Vera Therapeutics, Inc. *

    1,399       10,856  

Vericel Corp. *

    3,438       100,802  

Veru, Inc. *

    5,117       5,936  

Verve Therapeutics, Inc. *

    541       7,801  

Vicarious Surgical, Inc. *

    4,135       9,386  

ViewRay, Inc. *

    9,376       32,441  

Vintage Wine Estates, Inc. *

    279       299  

Viridian Therapeutics, Inc. *

    2,070       52,661  

VistaGen Therapeutics, Inc. *

    9,695       1,209  

Vita Coco Co., Inc. *

    1,971       38,671  

Vital Farms, Inc. *

    2,134       32,650  

WD-40 Co.

    990       176,269  

Wejo Group Ltd. *

    3,045       1,501  

Willdan Group, Inc. *

    63       984  

Xeris Biopharma Holdings, Inc. *

    9,498       15,482  

Y-mAbs Therapeutics, Inc. *

    2,887       14,464  

Zentalis Pharmaceuticals, Inc. *

    3,177       54,644  

ZipRecruiter, Inc. Class A *

    5,362       85,470  

Zynex, Inc. *

    1,518       18,216  
   

 

 

 
    25,858,931  
   

 

 

 
   

Shares

   

Value

 

Energy - 7.2%

 

Alpha Metallurgical Resources, Inc.

    1,100       $171,600  

Amplify Energy Corp. *

    1,952       13,410  

Arch Resources, Inc.

    1,076       141,451  

Aris Water Solution, Inc. Class A

    1,596       12,433  

Array Technologies, Inc. *

    10,866       237,748  

Battalion Oil Corp. *

    144       946  

Berry Corp.

    1,119       8,784  

Borr Drilling Ltd. *

    6,900       52,302  

Callon Petroleum Co. *

    3,008       100,588  

ChampionX Corp.

    14,431       391,513  

Chord Energy Corp.

    1,778       239,319  

CNX Resources Corp. *

    722       11,566  

Comstock Resources, Inc.

    6,758       72,919  

CONSOL Energy, Inc.

    2,346       136,701  

Crescent Energy Co. Class A

    2,913       32,946  

CVR Energy, Inc.

    2,116       69,363  

Delek US Holdings, Inc.

    5,003       114,819  

Denbury, Inc. *

    3,611       316,432  

DMC Global, Inc. *

    393       8,634  

Earthstone Energy, Inc. Class A *

    3,109       40,448  

Empire Petroleum Corp. *

    796       9,878  

Energy Vault Holdings, Inc. *

    5,923       12,675  

Equitrans Midstream Corp.

    7,057       40,789  

Fluence Energy, Inc. *

    2,770       56,093  

FuelCell Energy, Inc. *

    21,137       60,240  

Golar LNG Ltd. *

    401       8,662  

Gulfport Energy Corp. *

    784       62,720  

Heliogen, Inc. *

    5,222       1,254  

HighPeak Energy, Inc.

    511       11,753  

Kinetik Holdings, Inc.

    101       3,161  

Kosmos Energy Ltd. *

    32,534       242,053  

Liberty Energy, Inc.

    9,737       124,731  

Magnolia Oil & Gas Corp. Class A

    12,622       276,169  

Matador Resources Co.

    8,111       386,489  

Montauk Renewables, Inc. *

    4,876       38,374  

Murphy Oil Corp.

    4,682       173,140  

Nabors Industries Ltd. *

    566       69,001  

NextDecade Corp. *

    2,347       11,665  

NexTier Oilfield Solutions, Inc. *

    12,792       101,696  

Noble Corp. PLC *

    1,084       42,785  

Northern Oil & Gas, Inc.

    4,073       123,616  

Oceaneering International, Inc. *

    6,594       116,252  

Par Pacific Holdings, Inc. *

    3,583       104,624  

Patterson-UTI Energy, Inc.

    10,314       120,674  

PBF Energy, Inc. Class A

    1,968       85,333  

Permian Resources Corp.

    2,169       22,775  

ProFrac Holding Corp. Class A *

    786       9,959  

Ramaco Resources, Inc.

    1,624       14,307  

Ranger Oil Corp. Class A

    1,371       55,992  

Riley Exploration Permian, Inc.

    477       18,155  

Ring Energy, Inc. *

    2,246       4,267  

RPC, Inc.

    5,276       40,572  

SandRidge Energy, Inc. *

    1,688       24,324  

Shoals Technologies Group, Inc. Class A *

    11,726       267,236  

SilverBow Resources, Inc. *

    840       19,194  

Sitio Royalties Corp. Class A

    5,174       116,932  

SM Energy Co.

    8,728       245,781  

Solaris Oilfield Infrastructure, Inc. Class A

    2,230       19,044  

Stem, Inc. *

    9,765       55,368  

SunPower Corp. *

    6,049       83,718  

Talos Energy, Inc. *

    5,041       74,808  

Tellurian, Inc. *

    36,525       44,926  

TETRA Technologies, Inc. *

    7,141       18,924  

TPI Composites, Inc. *

    2,619       34,178  

US Silica Holdings, Inc. *

    794       9,480  

VAALCO Energy, Inc.

    7,527       34,097  

Valaris Ltd. *

    4,390       285,613  

Vertex Energy, Inc. *

    3,399       33,582  

Vital Energy, Inc. *

    1,185       53,965  

W&T Offshore, Inc. *

    5,582       28,357  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

260

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Warrior Met Coal, Inc.

    398       $14,611  

Weatherford International PLC *

    5,093       302,270  
   

 

 

 
    6,390,184  
   

 

 

 

Financial - 7.4%

 

Alexander’s, Inc. REIT

    173       33,519  

Applied Digital Corp. *

    2,594       5,811  

Artisan Partners Asset Management, Inc. Class A

    2,845       90,983  

Associated Capital Group, Inc. Class A

    16       591  

Atlanticus Holdings Corp. *

    159       4,314  

Avantax, Inc. *

    3,524       92,752  

Axos Financial, Inc. *

    321       11,851  

B Riley Financial, Inc.

    1,495       42,443  

BancFirst Corp.

    867       72,048  

Bancorp, Inc. *

    1,786       49,740  

Bank of NT Butterfield & Son Ltd.

    291       7,857  

BayCom Corp.

    213       3,638  

Bluerock Homes Trust, Inc. REIT *

    73       1,447  

Bridgewater Bancshares, Inc. *

    561       6,081  

Brightsphere Investment Group, Inc.

    2,163       51,004  

Brookfield Business Corp. Class A

    1,649       32,683  

BRP Group, Inc. Class A *

    4,458       113,501  

Cadence Bank

    584       12,124  

CareTrust REIT, Inc.

    757       14,822  

CBL & Associates Properties, Inc. REIT

    385       9,871  

Clipper Realty, Inc. REIT

    1,151       6,607  

Coastal Financial Corp. *

    787       28,340  

Cohen & Steers, Inc.

    1,824       116,663  

Columbia Financial, Inc. *

    957       17,494  

Community Healthcare Trust, Inc. REIT

    1,105       40,443  

Compass, Inc. Class A *

    19,800       63,954  

Corporate Office Properties Trust REIT

    1,115       26,437  

Cryptyde, Inc. *

    608       51  

Curo Group Holdings Corp.

    935       1,618  

Cushman & Wakefield PLC *

    9,169       96,641  

Diamond Hill Investment Group, Inc.

    214       35,220  

Doma Holdings, Inc. *

    1,268       517  

Douglas Elliman, Inc.

    407       1,266  

Eastern Bankshares, Inc.

    2,471       31,184  

eHealth, Inc. *

    434       4,062  

Esquire Financial Holdings, Inc.

    470       18,377  

Essential Properties Realty Trust, Inc. REIT

    1,076       26,739  

eXp World Holdings, Inc.

    5,043       63,996  

Farmers & Merchants Bancorp, Inc.

    359       8,731  

Federated Hermes, Inc.

    6,173       247,784  

First BanCorp

    567       6,475  

First Financial Bankshares, Inc.

    9,411       300,211  

First Guaranty Bancshares, Inc.

    32       501  

Five Star Bancorp

    401       8,557  

Focus Financial Partners, Inc. Class A *

    4,192       217,439  

Four Corners Property Trust, Inc. REIT

    700       18,802  

FVCBankcorp, Inc. *

    320       3,408  

GCM Grosvenor, Inc. Class A

    2,634       20,572  

Glacier Bancorp, Inc.

    1,127       47,345  

Gladstone Commercial Corp. REIT

    2,749       34,720  

Gladstone Land Corp. REIT

    1,326       22,078  

Goosehead Insurance, Inc. Class A *

    1,192       62,222  

Greene County Bancorp, Inc.

    498       11,295  

Hamilton Lane, Inc. Class A

    2,611       193,162  

Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT

    440       12,584  

HCI Group, Inc.

    452       24,227  

Hersha Hospitality Trust REIT

    497       3,340  

Hingham Institution For Savings

    19       4,435  

HomeTrust Bancshares, Inc.

    319       7,844  

Houlihan Lokey, Inc.

    3,661       320,301  

Industrial Logistics Properties Trust REIT

    198       608  

Innovative Industrial Properties, Inc. REIT

    1,972       149,852  

International Money Express, Inc. *

    2,319       59,784  

Investors Title Co.

    16       2,416  

iStar, Inc. REIT *

    1,241       36,448  
   

Shares

   

Value

 

Kinsale Capital Group, Inc.

    1,560       $468,234  

Lakeland Financial Corp.

    1,469       92,018  

LendingClub Corp. *

    302       2,177  

LendingTree, Inc. *

    745       19,862  

Live Oak Bancshares, Inc.

    1,910       46,547  

Marcus & Millichap, Inc.

    1,908       61,266  

McGrath RentCorp

    1,740       162,359  

Metrocity Bankshares, Inc.

    434       7,417  

Metropolitan Bank Holding Corp. *

    111       3,762  

Moelis & Co. Class A

    2,316       89,027  

NerdWallet, Inc. Class A *

    1,848       29,901  

Newmark Group, Inc. Class A

    979       6,931  

NexPoint Residential Trust, Inc. REIT

    1,588       69,348  

Nicolet Bankshares, Inc. *

    142       8,953  

NMI Holdings, Inc. Class A *

    457       10,205  

Offerpad Solutions, Inc. *

    3,916       2,064  

Outfront Media, Inc. REIT

    9,910       160,839  

Palomar Holdings, Inc. *

    1,779       98,201  

Pathward Financial, Inc.

    415       17,218  

PennyMac Mortgage Investment Trust REIT

    1,122       13,834  

Perella Weinberg Partners

    2,459       22,377  

Phillips Edison & Co., Inc. REIT

    8,452       275,704  

PJT Partners, Inc. Class A

    1,725       124,528  

Postal Realty Trust, Inc. Class A REIT

    999       15,205  

PotlatchDeltic Corp. REIT

    611       30,245  

Redfin Corp. *

    7,625       69,083  

RLI Corp.

    2,815       374,142  

RMR Group, Inc. Class A

    835       21,910  

Saul Centers, Inc. REIT

    864       33,696  

Sculptor Capital Management, Inc.

    996       8,576  

ServisFirst Bancshares, Inc.

    3,615       197,487  

Silvercrest Asset Management Group, Inc. Class A

    691       12,562  

SiriusPoint Ltd. *

    433       3,520  

Skyward Specialty Insurance Group, Inc. *

    182       3,980  

St. Joe Co.

    2,500       104,025  

StepStone Group, Inc. Class A

    4,042       98,099  

Stock Yards Bancorp, Inc.

    1,788       98,590  

StoneX Group, Inc. *

    123       12,734  

Tanger Factory Outlet Centers, Inc. REIT

    7,343       144,143  

Third Coast Bancshares, Inc. *

    51       801  

Triumph Financial, Inc. *

    496       28,798  

Trupanion, Inc. *

    2,826       121,207  

UMH Properties, Inc. REIT

    3,361       49,709  

Universal Health Realty Income Trust REIT

    994       47,821  

Universal Insurance Holdings, Inc.

    268       4,883  

Veritex Holdings, Inc.

    399       7,286  

Victory Capital Holdings, Inc. Class A

    372       10,888  

Virtus Investment Partners, Inc.

    44       8,377  

Walker & Dunlop, Inc.

    1,548       117,911  

West BanCorp, Inc.

    382       6,979  

Westamerica BanCorp

    431       19,093  

WisdomTree, Inc.

    7,815       45,796  

World Acceptance Corp. *

    196       16,325  
   

 

 

 
    6,568,473  
   

 

 

 

Industrial - 16.0%

 

908 Devices, Inc. *

    289       2,485  

AAON, Inc.

    3,160       305,540  

Advanced Energy Industries, Inc.

    2,707       265,286  

Aerojet Rocketdyne Holdings, Inc. *

    4,306       241,868  

AeroVironment, Inc. *

    1,752       160,588  

AEye, Inc. *

    5,842       1,839  

Air Transport Services Group, Inc. *

    1,585       33,016  

Akoustis Technologies, Inc. *

    4,521       13,925  

Alamo Group, Inc.

    623       114,732  

Albany International Corp. Class A

    440       39,318  

Allied Motion Technologies, Inc.

    873       33,741  

American Woodmark Corp. *

    54       2,812  

Apogee Enterprises, Inc.

    1,589       68,724  

Applied Industrial Technologies, Inc.

    2,758       391,995  

ArcBest Corp.

    584       53,973  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

261

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Atkore, Inc. *

    2,839       $398,823  

Atlas Technical Consultants, Inc. *

    939       11,446  

Babcock & Wilcox Enterprises, Inc. *

    4,326       26,216  

Badger Meter, Inc.

    2,108       256,797  

Belden, Inc.

    1,644       142,650  

Berkshire Grey, Inc. *

    5,026       6,936  

Blink Charging Co. *

    3,042       26,313  

Bloom Energy Corp. Class A *

    12,962       258,333  

Boise Cascade Co.

    595       37,634  

Brady Corp. Class A

    2,514       135,077  

Cactus, Inc. Class A

    4,528       186,689  

Cadre Holdings, Inc.

    1,372       29,553  

Casella Waste Systems, Inc. Class A *

    3,598       297,411  

Charge Enterprises, Inc. *

    9,673       10,640  

Chart Industries, Inc. *

    3,075       385,605  

Chase Corp.

    144       15,081  

CIRCOR International, Inc. *

    402       12,510  

Comfort Systems USA, Inc.

    2,554       372,782  

Construction Partners, Inc. Class A *

    2,934       79,042  

CryoPort, Inc. *

    2,678       64,272  

CSW Industrials, Inc.

    1,061       147,405  

CTS Corp.

    2,324       114,945  

Daseke, Inc. *

    2,829       21,868  

Dycom Industries, Inc. *

    2,081       194,886  

EMCOR Group, Inc.

    3,403       553,294  

Energizer Holdings, Inc.

    5,117       177,560  

Energy Recovery, Inc. *

    4,019       92,638  

Enerpac Tool Group Corp.

    4,155       105,952  

EnerSys

    359       31,190  

Enovix Corp. *

    7,959       118,669  

ESCO Technologies, Inc.

    179       17,086  

ESS Tech, Inc. *

    6,581       9,148  

Evoqua Water Technologies Corp. *

    8,476       421,427  

Exponent, Inc.

    3,664       365,264  

Fabrinet *

    2,661       316,020  

FARO Technologies, Inc. *

    79       1,944  

Federal Signal Corp.

    4,304       233,320  

Fluor Corp. *

    9,364       289,441  

Forward Air Corp.

    1,938       208,839  

Franklin Electric Co., Inc.

    3,322       312,600  

GATX Corp.

    151       16,613  

Gorman-Rupp Co.

    354       8,850  

GrafTech International Ltd.

    13,837       67,248  

Great Lakes Dredge & Dock Corp. *

    1,396       7,580  

Greif, Inc. Class A

    326       20,659  

Greif, Inc. Class B

    51       3,903  

Griffon Corp.

    1,579       50,544  

Helios Technologies, Inc.

    2,348       153,559  

Hillenbrand, Inc.

    2,517       119,633  

Identiv, Inc. *

    1,682       10,327  

IES Holdings, Inc. *

    407       17,538  

Insteel Industries, Inc.

    1,329       36,973  

Itron, Inc. *

    293       16,247  

Janus International Group, Inc. *

    6,026       59,416  

JELD-WEN Holding, Inc. *

    2,222       28,131  

Joby Aviation, Inc. *

    16,710       72,521  

John Bean Technologies Corp.

    2,279       249,072  

Kadant, Inc.

    839       174,948  

Karat Packaging, Inc.

    354       4,719  

Latham Group, Inc. *

    3,248       9,289  

Li-Cycle Holdings Corp. *

    3,740       21,056  

Lindsay Corp.

    782       118,184  

LSB Industries, Inc. *

    5,487       56,681  

Luxfer Holdings PLC

    934       15,785  

Marten Transport Ltd.

    3,210       67,249  

Masonite International Corp. *

    1,615       146,594  

Materion Corp.

    1,384       160,544  

Mesa Laboratories, Inc.

    366       63,951  

MicroVision, Inc. *

    11,857       31,658  

Momentus, Inc. *

    1,113       651  

Montrose Environmental Group, Inc. *

    2,029       72,374  

Moog, Inc. Class A

    340       34,255  
   

Shares

   

Value

 

Mueller Industries, Inc.

    1,459       $ 107,207  

Mueller Water Products, Inc. Class A

    11,284       157,299  

Myers Industries, Inc.

    2,615       56,039  

MYR Group, Inc. *

    1,185       149,322  

Napco Security Technologies, Inc. *

    2,315       86,998  

NEXTracker, Inc. Class A *

    1,936       70,199  

Northwest Pipe Co. *

    193       6,027  

Novanta, Inc. *

    2,560       407,270  

NV5 Global, Inc. *

    991       103,034  

O-I Glass, Inc. *

    8,994       204,254  

Omega Flex, Inc.

    233       25,966  

OSI Systems, Inc. *

    144       14,740  

PAM Transportation Services, Inc. *

    468       13,399  

PGT Innovations, Inc. *

    4,217       105,889  

Plexus Corp. *

    1,696       165,479  

Primoris Services Corp.

    275       6,782  

Proto Labs, Inc. *

    325       10,774  

Pure Cycle Corp. *

    1,841       17,397  

PureCycle Technologies, Inc. *

    6,032       42,224  

Radiant Logistics, Inc. *

    876       5,747  

RBC Bearings, Inc. *

    304       70,750  

Redwire Corp. *

    237       718  

Rocket Lab USA, Inc. *

    15,436       62,361  

Ryerson Holding Corp.

    55       2,001  

Saia, Inc. *

    1,914       520,761  

Sarcos Technology & Robotics Corp. *

    6,320       3,000  

Sight Sciences, Inc. *

    116       1,014  

Simpson Manufacturing Co., Inc.

    3,083       338,020  

SmartRent, Inc. *

    8,790       22,415  

Smith & Wesson Brands, Inc.

    175       2,154  

Sterling Infrastructure, Inc. *

    1,798       68,108  

Stoneridge, Inc. *

    244       4,563  

Sturm Ruger & Co., Inc.

    1,109       63,701  

Tennant Co.

    608       41,666  

Terex Corp.

    2,375       114,902  

Transphorm, Inc. *

    1,912       7,629  

Trinity Industries, Inc.

    892       21,729  

Turtle Beach Corp. *

    990       9,920  

UFP Industries, Inc.

    3,775       299,999  

Universal Logistics Holdings, Inc.

    399       11,631  

Vicor Corp. *

    1,575       73,930  

Watts Water Technologies, Inc. Class A

    1,972       331,927  

Werner Enterprises, Inc.

    562       25,565  

Xometry, Inc. Class A *

    2,451       36,691  

Zurn Elkay Water Solutions Corp.

    8,960       191,386  
   

 

 

 
    14,216,487  
   

 

 

 

Technology - 16.2%

 

8x8, Inc. *

    8,082       33,702  

ACI Worldwide, Inc. *

    8,079       217,971  

ACM Research, Inc. Class A *

    571       6,681  

ACV Auctions, Inc. Class A *

    4,265       55,061  

Agilysys, Inc. *

    1,441       118,897  

Alignment Healthcare, Inc. *

    7,000       44,520  

Alkami Technology, Inc. *

    2,616       33,119  

Alpha & Omega Semiconductor Ltd. *

    1,260       33,957  

Altair Engineering, Inc. Class A *

    3,745       270,052  

Ambarella, Inc. *

    2,676       207,176  

American Software, Inc. Class A

    1,750       22,067  

Amkor Technology, Inc.

    1,495       38,900  

Amplitude, Inc. Class A *

    4,026       50,083  

Apollo Medical Holdings, Inc. *

    2,834       103,356  

Appfolio, Inc. Class A *

    1,420       176,762  

Appian Corp. Class A *

    2,914       129,323  

Arteris, Inc. *

    1,527       6,459  

Asana, Inc. Class A *

    5,355       113,151  

Atomera, Inc. *

    1,611       10,262  

AvePoint, Inc. *

    9,412       38,777  

Avid Technology, Inc. *

    1,577       50,432  

AvidXchange Holdings, Inc. *

    9,346       72,899  

Axcelis Technologies, Inc. *

    2,354       313,670  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

262

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Bandwidth, Inc. Class A *

    419       $6,369  

BigCommerce Holdings, Inc. *

    4,670       41,750  

Blackbaud, Inc. *

    3,189       220,998  

Blackline, Inc. *

    3,980       267,257  

Box, Inc. Class A *

    10,075       269,909  

Brightcove, Inc. *

    2,147       9,554  

C3.ai, Inc. Class A *

    808       27,125  

Cantaloupe, Inc. *

    2,447       13,948  

Cerberus Cyber Sentinel Corp. *

    2,620       886  

CEVA, Inc. *

    1,708       51,974  

Clear Secure, Inc. Class A

    4,696       122,894  

CommVault Systems, Inc. *

    3,234       183,497  

Consensus Cloud Solutions, Inc. *

    653       22,261  

Corsair Gaming, Inc. *

    1,656       30,388  

CS Disco, Inc. *

    1,683       11,175  

CSG Systems International, Inc.

    2,233       119,912  

Diebold Nixdorf, Inc. *

    4,218       5,062  

Digi International, Inc. *

    860       28,965  

Digimarc Corp. *

    926       18,196  

Digital Turbine, Inc. *

    6,705       82,874  

DigitalOcean Holdings, Inc. *

    5,033       197,143  

Diodes, Inc. *

    2,333       216,409  

Domo, Inc. Class B *

    2,250       31,927  

Donnelley Financial Solutions, Inc. *

    103       4,209  

Duolingo, Inc. *

    1,733       247,108  

Ebix, Inc.

    493       6,503  

eGain Corp. *

    571       4,334  

Enfusion, Inc. Class A *

    1,921       20,171  

EngageSmart, Inc. *

    2,547       49,030  

Envestnet, Inc. *

    3,044       178,591  

Everbridge, Inc. *

    2,935       101,756  

EverCommerce, Inc. *

    179       1,894  

Evolent Health, Inc. Class A *

    5,906       191,650  

ExlService Holdings, Inc. *

    2,333       377,549  

Faraday Future Intelligent Electric, Inc. *

    20,165       7,140  

ForgeRock, Inc. Class A *

    2,252       46,391  

FormFactor, Inc. *

    5,594       178,169  

Grid Dynamics Holdings, Inc. *

    3,810       43,663  

HireRight Holdings Corp. *

    1,507       15,989  

IBEX Holdings Ltd. *

    636       15,518  

Impinj, Inc. *

    1,404       190,270  

Insight Enterprises, Inc. *

    1,918       274,197  

Inspired Entertainment, Inc. *

    1,057       13,519  

Instructure Holdings, Inc. *

    232       6,009  

Intapp, Inc. *

    1,034       46,365  

Integral Ad Science Holding Corp. *

    952       13,585  

IonQ, Inc. *

    1,412       8,684  

IronNet, Inc. *

    4,043       1,422  

Kulicke & Soffa Industries, Inc.

    4,055       213,658  

LivePerson, Inc. *

    5,024       22,156  

MACOM Technology Solutions Holdings, Inc. Class H *

    3,928       278,260  

Markforged Holding Corp. *

    829       795  

Matterport, Inc. *

    11,721       31,998  

Maximus, Inc.

    4,120       324,244  

MaxLinear, Inc. *

    5,298       186,543  

MeridianLink, Inc. *

    1,650       28,545  

MicroStrategy, Inc. Class A *

    417       121,897  

Mitek Systems, Inc. *

    2,911       27,916  

Model N, Inc. *

    2,755       92,210  

Momentive Global, Inc. *

    9,605       89,519  

N-Able, Inc. *

    4,246       56,047  

NextGen Healthcare, Inc. *

    1,935       33,688  

NextNav, Inc. *

    5,006       10,162  

Nutex Health, Inc. *

    17,944       18,123  

OneSpan, Inc. *

    1,013       17,728  

Onto Innovation, Inc. *

    3,573       313,995  

Outset Medical, Inc. *

    3,573       65,743  

PagerDuty, Inc. *

    6,235       218,100  

PAR Technology Corp. *

    713       24,213  

PDF Solutions, Inc. *

    2,161       91,626  

Pear Therapeutics, Inc. *

    1,633       416  
   

Shares

   

Value

 

Photronics, Inc. *

    3,146       $ 52,161  

Phreesia, Inc. *

    1,689       54,538  

Pitney Bowes, Inc.

    6,619       25,748  

Playstudios, Inc. *

    2,932       10,819  

Power Integrations, Inc.

    4,108       347,701  

PowerSchool Holdings, Inc. Class A *

    1,139       22,575  

Privia Health Group, Inc. *

    3,757       103,731  

Progress Software Corp.

    3,120       179,244  

PROS Holdings, Inc. *

    1,919       52,581  

PubMatic, Inc. Class A *

    2,819       38,959  

Qualys, Inc. *

    2,779       361,326  

Rambus, Inc. *

    6,469       331,601  

Rapid7, Inc. *

    4,267       195,898  

Red Violet, Inc. *

    703       12,373  

Rimini Street, Inc. *

    3,497       14,408  

Sapiens International Corp. NV

    1,701       36,946  

Schrodinger, Inc. *

    3,948       103,951  

Semtech Corp. *

    4,495       108,509  

Silicon Laboratories, Inc. *

    2,281       399,380  

Simulations Plus, Inc.

    1,116       49,037  

SiTime Corp. *

    1,174       166,978  

SkyWater Technology, Inc. *

    847       9,639  

SMART Global Holdings, Inc. *

    3,517       60,633  

Sprout Social, Inc. Class A *

    3,371       205,226  

SPS Commerce, Inc. *

    2,613       397,960  

Sumo Logic, Inc. *

    5,445       65,231  

Super Micro Computer, Inc. *

    3,381       360,246  

Synaptics, Inc. *

    2,865       318,445  

Telos Corp. *

    3,937       9,961  

Tenable Holdings, Inc. *

    8,059       382,883  

TTEC Holdings, Inc.

    1,356       50,484  

Ultra Clean Holdings, Inc. *

    1,146       38,001  

Unisys Corp. *

    3,549       13,770  

Varonis Systems, Inc. *

    7,721       200,823  

Veeco Instruments, Inc. *

    3,001       63,411  

Velo3D, Inc. *

    4,248       9,643  

Verint Systems, Inc. *

    4,277       159,275  

Veritone, Inc. *

    2,301       13,415  

Verra Mobility Corp. *

    10,104       170,960  

Viant Technology, Inc. Class A *

    851       3,702  

Vimeo, Inc. *

    8,213       31,456  

Vuzix Corp. *

    3,726       15,426  

Weave Communications, Inc. *

    2,334       11,600  

WM Technology, Inc. *

    6,652       5,649  

Workiva, Inc. *

    3,435       351,778  

Yext, Inc. *

    8,287       79,638  

Zeta Global Holdings Corp. Class A *

    8,146       88,221  

Zuora, Inc. Class A *

    9,264       91,528  
   

 

 

 
    14,316,516  
   

 

 

 

Utilities - 1.6%

 

Altus Power, Inc. *

    2,540       13,919  

Ameresco, Inc. Class A *

    2,332       114,781  

American States Water Co.

    1,248       110,935  

Artesian Resources Corp. Class A

    463       25,632  

Brookfield Infrastructure Corp. Class A

    7,049       324,677  

California Water Service Group

    1,002       58,316  

Clearway Energy, Inc. Class A

    2,612       78,438  

Clearway Energy, Inc. Class C

    5,959       186,696  

FTC Solar, Inc. *

    3,462       7,790  

Global Water Resources, Inc.

    1,295       16,097  

MGE Energy, Inc.

    1,158       89,942  

Middlesex Water Co.

    383       29,920  

New Jersey Resources Corp.

    627       33,356  

Ormat Technologies, Inc.

    2,106       178,526  

Otter Tail Corp.

    1,362       98,432  

Southwest Gas Holdings, Inc. *

    501       31,287  

Via Renewables, Inc. *

    320       5,874  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

263

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

York Water Co.

    1,099       $49,125  
   

 

 

 
    1,453,743  
   

 

 

 

Total Common Stocks
(Cost $95,898,117)

      87,102,780  
   

 

 

 

EXCHANGE-TRADED FUND - 1.3%

   

iShares Russell 2000 Growth

    4,978       1,129,110  
   

 

 

 

Total Exchange-Traded Fund
(Cost $1,091,383)

      1,129,110  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENT - 0.4%

 

Repurchase Agreement - 0.4%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $398,294; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $406,136)

    $398,147       398,147  
   

 

 

 

Total Short-Term Investment
(Cost $398,147)

      398,147  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $97,387,715)

      88,631,995  
   

 

 

 

DERIVATIVES - 0.0%

      16,571  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (5,476
   

 

 

 

NET ASSETS - 100.0%

      $88,643,090  
   

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $1,958 or less than 0.1% of the Fund’s net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees.

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

264

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(b)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding        Expiration    
Month
   Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

Micro Russell 2000 E-Mini Index

   06/23      47        $409,602        $426,173        $16,571  
              

 

 

 

 

(c)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

      Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

     $1,958        $-        $-        $1,958  
 

Common Stocks

           
 

Basic Materials

     3,743,190        3,743,190        -        -  
 

Communications

     3,955,511        3,955,511        -        -  
 

Consumer, Cyclical

     10,599,745        10,599,745        -        -  
 

Consumer, Non-Cyclical

     25,858,931        25,854,757        4,174        -  
 

Energy

     6,390,184        6,390,184        -        -  
 

Financial

     6,568,473        6,568,473        -        -  
 

Industrial

     14,216,487        14,216,487        -        -  
 

Technology

     14,316,516        14,316,516        -        -  
 

Utilities

     1,453,743        1,453,743        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     87,102,780        87,098,606        4,174        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Fund

     1,129,110        1,129,110        -        -  
 

Short-Term Investment

     398,147        -        398,147        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     16,571        16,571        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $88,648,566        $88,244,287        $402,321        $1,958  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

265

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

RIGHTS - 0.0%

 

Basic Materials - 0.0%

 

PolyMet Mining Corp. Exp 04/10/23 *

    3,342       $9  
   

 

 

 

Consumer, Non-Cyclical - 0.0%

 

Contra Aduro Biotechnologies, Inc. - Contingent Value Rights * W ±

    123       312  

OmniAb, Inc. $12.50 - Earn Out Shares * W ±

    588       -  

OmniAb, Inc. $15.00 - Earn Out Shares * W ±

    588       -  
   

 

 

 
    312  
   

 

 

 

Total Rights
(Cost $0)

      321  
   

 

 

 

COMMON STOCKS - 96.2%

 

Basic Materials - 3.1%

 

AdvanSix, Inc.

    1,321       50,555  

American Vanguard Corp.

    264       5,776  

Amyris, Inc. *

    13,520       18,387  

Arconic Corp. *

    7,985       209,447  

Avient Corp.

    1,870       76,969  

AZZ, Inc.

    1,898       78,273  

Carpenter Technology Corp.

    3,656       163,643  

Coeur Mining, Inc. *

    21,670       86,463  

Commercial Metals Co.

    7,422       362,936  

Constellium SE *

    4,604       70,349  

Danimer Scientific, Inc. *

    6,804       23,474  

Ecovyst, Inc. *

    6,564       72,532  

Energy Fuels, Inc. *

    2,034       11,350  

Glatfelter Corp.

    3,303       10,537  

Hawkins, Inc.

    566       24,779  

Haynes International, Inc.

    931       46,634  

HB Fuller Co.

    584       39,975  

Hecla Mining Co.

    42,328       267,936  

Hycroft Mining Holding Corp. *

    2,208       955  

Innospec, Inc.

    283       29,056  

Intrepid Potash, Inc. *

    832       22,963  

Ivanhoe Electric, Inc. *

    1,770       21,505  

Koppers Holdings, Inc.

    1,600       55,952  

Mativ Holdings, Inc.

    3,926       84,291  

Minerals Technologies, Inc.

    2,480       149,842  

Novagold Resources, Inc. * (Canada)

    1,166       7,253  

Origin Materials, Inc. *

    3,036       12,964  

Perimeter Solutions SA *

    9,128       73,754  

Piedmont Lithium, Inc. *

    985       59,149  

PolyMet Mining Corp. * (Canada)

    1,275       2,741  

Quaker Chemical Corp.

    359       71,064  

Rayonier Advanced Materials, Inc. *

    4,627       29,011  

Schnitzer Steel Industries, Inc. Class A

    1,835       57,068  

Sensient Technologies Corp.

    168       12,862  

Stepan Co.

    1,472       151,660  

Sylvamo Corp.

    157       7,263  

Terawulf, Inc. *

    2,353       2,207  

Trinseo PLC

    2,749       57,317  

Tronox Holdings PLC

    8,954       128,758  

Unifi, Inc. *

    1,069       8,734  

Ur-Energy, Inc. *

    2,705       2,867  

US Lime & Minerals, Inc.

    31       4,733  

Valhi, Inc.

    160       2,786  
   

 

 

 
    2,676,770  
   

 

 

 
   

    

Shares

   

Value

 

Communications - 3.4%

 

 

1-800-Flowers.com, Inc. Class A *

    1,940       $22,310  

1stdibs.com, Inc. *

    1,778       7,059  

A10 Networks, Inc.

    978       15,149  

ADTRAN Holdings, Inc.

    535       8,485  

Advantage Solutions, Inc. *

    6,200       9,796  

aka Brands Holding Corp. *

    1,032       562  

Allbirds, Inc. Class A *

    5,308       6,370  

AMC Networks, Inc. Class A *

    2,261       39,748  

Anterix, Inc. *

    982       32,445  

Arena Group Holdings, Inc. *

    317       1,347  

ATN International, Inc.

    821       33,595  

Audacy, Inc. *

    13,875       1,869  

Aviat Networks, Inc. *

    839       28,912  

BARK, Inc. *

    8,126       11,783  

Blade Air Mobility, Inc. *

    4,255       14,382  

Boston Omaha Corp. Class A *

    1,651       39,079  

Bumble, Inc. Class A *

    7,660       149,753  

Calix, Inc. *

    965       51,714  

Cars.com, Inc. *

    4,427       85,441  

Clear Channel Outdoor Holdings, Inc. *

    27,661       33,193  

Cogent Communications Holdings, Inc.

    1,501       95,644  

Consolidated Communications Holdings, Inc. *

    5,017       12,944  

ContextLogic, Inc. Class A *

    43,214       19,265  

Cumulus Media, Inc. Class A *

    1,292       4,768  

DHI Group, Inc. *

    679       2,635  

DigitalBridge Group, Inc.

    1,211       14,520  

EchoStar Corp. Class A *

    2,656       48,578  

Edgio, Inc. *

    1,306       1,033  

Entravision Communications Corp. Class A

    1,205       7,290  

ePlus, Inc. *

    455       22,313  

Eventbrite, Inc. Class A *

    705       6,049  

EW Scripps Co. Class A *

    4,375       41,169  

Figs, Inc. Class A *

    1,415       8,759  

fuboTV, Inc. *

    14,053       17,004  

Gannett Co., Inc. *

    10,791       20,179  

Globalstar, Inc. *

    8,190       9,500  

Gogo, Inc. *

    3,578       51,881  

Gray Television, Inc.

    3,732       32,543  

Groupon, Inc. *

    1,469       6,185  

HealthStream, Inc. *

    1,794       48,617  

Hims & Hers Health, Inc. *

    1,402       13,908  

IDT Corp. Class B *

    338       11,519  

iHeartMedia, Inc. Class A *

    9,022       35,186  

Innovid Corp. * (Israel)

    996       1,404  

Inseego Corp. *

    8,019       4,670  

Inspirato, Inc. *

    2,313       2,218  

InterDigital, Inc.

    1,430       104,247  

KORE Group Holdings, Inc. *

    3,079       3,756  

Lands’ End, Inc. *

    1,142       11,100  

Liberty Latin America Ltd. Class A *

    3,143       26,118  

Liberty Latin America Ltd. Class C *

    11,265       93,049  

Liquidity Services, Inc. *

    911       11,998  

Magnite, Inc. *

    10,178       94,248  

Maxar Technologies, Inc.

    5,627       287,315  

NETGEAR, Inc. *

    2,121       39,260  

Overstock.com, Inc. *

    3,311       67,114  

Planet Labs PBC *

    2,301       9,043  

Preformed Line Products Co.

    189       24,200  

QuinStreet, Inc. *

    3,731       59,211  

Quotient Technology, Inc. *

    6,009       19,710  

RealReal, Inc. *

    5,536       6,975  

Ribbon Communications, Inc. *

    5,430       18,571  

Rover Group, Inc. *

    484       2,193  

RumbleON, Inc. Class B *

    786       4,763  

Scholastic Corp.

    2,261       77,371  

Shenandoah Telecommunications Co.

    3,764       71,591  

Solo Brands, Inc. Class A *

    1,658       11,905  

Squarespace, Inc. Class A *

    1,796       57,059  

Stagwell, Inc. *

    5,212       38,673  

Stitch Fix, Inc. Class A *

    3,765       19,239  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

266

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

TEGNA, Inc.

    17,047       $288,265  

Telephone & Data Systems, Inc.

    7,790       81,873  

Terran Orbital Corp. *

    3,073       5,654  

Thryv Holdings, Inc. *

    1,430       32,976  

TrueCar, Inc. *

    6,563       15,095  

Urban One, Inc. *

    1,877       11,816  

US Cellular Corp. *

    1,095       22,699  

Vacasa, Inc. Class A *

    8,723       8,393  

Value Line, Inc.

    9       435  

Vivid Seats, Inc. Class A *

    1,427       10,888  

WideOpenWest, Inc. *

    1,705       18,124  

Ziff Davis, Inc. *

    2,831       220,960  
   

 

 

 
    3,008,660  
   

 

 

 

Consumer, Cyclical - 12.1%

 

A-Mark Precious Metals, Inc.

    1,378       47,748  

Abercrombie & Fitch Co. Class A *

    3,737       103,702  

Academy Sports & Outdoors, Inc.

    5,813       379,298  

Acushnet Holdings Corp.

    1,841       93,781  

Adient PLC *

    7,263       297,492  

Aeva Technologies, Inc. *

    6,817       8,112  

Allegiant Travel Co. *

    693       63,742  

America’s Car-Mart, Inc. *

    441       34,932  

American Axle & Manufacturing Holdings, Inc. *

    8,336       65,104  

American Eagle Outfitters, Inc.

    11,796       158,538  

Asbury Automotive Group, Inc. *

    1,203       252,630  

Aterian, Inc. *

    4,480       3,853  

Bally’s Corp. *

    2,807       54,793  

Beacon Roofing Supply, Inc. *

    1,191       70,090  

Beazer Homes USA, Inc. *

    2,220       35,254  

Bed Bath & Beyond, Inc. *

    2,583       1,104  

Big 5 Sporting Goods Corp.

    1,600       12,304  

Big Lots, Inc.

    2,117       23,202  

Biglari Holdings, Inc. Class B *

    56       9,475  

BJ’s Restaurants, Inc. *

    1,782       51,927  

Bloomin’ Brands, Inc.

    1,870       47,966  

Bluegreen Vacations Holding Corp.

    623       17,058  

BlueLinx Holdings, Inc. *

    690       46,892  

Bowlero Corp. *

    2,211       37,476  

Brinker International, Inc. *

    331       12,578  

Buckle, Inc.

    160       5,710  

Build-A-Bear Workshop, Inc.

    272       6,321  

Cato Corp. Class A

    1,332       11,775  

Cenntro Electric Group Ltd. * (Australia)

    13,825       6,384  

Century Casinos, Inc. *

    415       3,042  

Century Communities, Inc.

    2,009       128,415  

Cepton, Inc. *

    845       392  

Chico’s FAS, Inc. *

    2,552       14,036  

Children’s Place, Inc. *

    310       12,478  

Chuy’s Holdings, Inc. *

    1,416       50,764  

Cinemark Holdings, Inc. *

    1,724       25,498  

Citi Trends, Inc. *

    575       10,937  

Clean Energy Fuels Corp. *

    13,251       57,774  

CompX International, Inc.

    121       2,188  

Conn’s, Inc. *

    972       5,890  

Container Store Group, Inc. *

    2,401       8,235  

Dana, Inc.

    9,877       148,649  

Denny’s Corp. *

    1,181       13,180  

Designer Brands, Inc. Class A

    1,007       8,801  

Destination XL Group, Inc. *

    2,059       11,345  

Dine Brands Global, Inc.

    137       9,267  

Duluth Holdings, Inc. Class B *

    468       2,986  

El Pollo Loco Holdings, Inc.

    1,457       13,973  

Ermenegildo Zegna NV (Italy)

    3,482       47,494  

Ethan Allen Interiors, Inc.

    1,698       46,627  

Everi Holdings, Inc. *

    3,101       53,182  

EVgo, Inc. *

    4,485       34,938  

Express, Inc. *

    4,371       3,446  

First Watch Restaurant Group, Inc. *

    740       11,884  

FirstCash, Inc.

    1,444       137,714  

Foot Locker, Inc.

    6,172       244,967  
   

    

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Forestar Group, Inc. *

    1,024       $ 15,933  

Fossil Group, Inc. *

    3,528       11,290  

Franchise Group, Inc.

    107       2,916  

Full House Resorts, Inc. *

    1,807       13,065  

G-III Apparel Group Ltd. *

    3,382       52,590  

Genesco, Inc. *

    903       33,303  

Global Industrial Co.

    263       7,059  

Goodyear Tire & Rubber Co. *

    21,468       236,577  

Green Brick Partners, Inc. *

    1,560       54,694  

Group 1 Automotive, Inc.

    1,080       244,534  

GrowGeneration Corp. *

    4,295       14,689  

Haverty Furniture Cos., Inc.

    1,089       34,750  

Hawaiian Holdings, Inc. *

    3,781       34,634  

Hibbett, Inc.

    200       11,796  

Hyliion Holdings Corp. *

    10,310       20,414  

IMAX Corp. *

    1,395       26,756  

Interface, Inc.

    797       6,472  

International Game Technology PLC

    5,832       156,298  

iRobot Corp. *

    239       10,430  

Jack in the Box, Inc.

    1,368       119,823  

JOANN, Inc.

    1,218       1,937  

Johnson Outdoors, Inc. Class A

    400       25,204  

KAR Auction Services, Inc. *

    8,289       113,394  

KB Home

    4,759       191,217  

Kimball International, Inc. Class B

    2,678       33,207  

La-Z-Boy, Inc.

    3,304       96,080  

Landsea Homes Corp. *

    915       5,545  

LGI Homes, Inc. *

    1,466       167,168  

Life Time Group Holdings, Inc. *

    3,299       52,652  

Lifetime Brands, Inc.

    912       5,363  

Light & Wonder, Inc. *

    7,226       433,921  

Lindblad Expeditions Holdings, Inc. *

    2,323       22,208  

Lions Gate Entertainment Corp. Class A *

    4,577       50,667  

Lions Gate Entertainment Corp. Class B *

    9,016       93,586  

LL Flooring Holdings, Inc. *

    2,107       8,007  

Lordstown Motors Corp. Class A *

    13,226       8,770  

M/I Homes, Inc. *

    1,767       111,480  

Madison Square Garden Entertainment Corp. *

    1,999       118,081  

Marcus Corp.

    1,932       30,912  

MarineMax, Inc. *

    1,569       45,109  

MDC Holdings, Inc.

    3,307       128,543  

Meritage Homes Corp.

    2,595       302,992  

Methode Electronics, Inc.

    2,717       119,222  

Microvast Holdings, Inc. *

    5,245       6,504  

Miller Industries, Inc.

    798       28,209  

MillerKnoll, Inc.

    5,815       118,917  

Motorcar Parts of America, Inc. *

    1,422       10,580  

Movado Group, Inc.

    1,137       32,711  

National Vision Holdings, Inc. *

    5,659       106,616  

Nikola Corp. *

    2,503       3,029  

Nu Skin Enterprises, Inc. Class A

    2,231       87,701  

ODP Corp. *

    3,062       137,729  

OneWater Marine, Inc. Class A *

    781       21,845  

Oxford Industries, Inc.

    346       36,534  

Papa John’s International, Inc.

    714       53,500  

Patrick Industries, Inc.

    1,489       102,458  

PC Connection, Inc.

    842       37,856  

PetMed Express, Inc.

    257       4,174  

PLBY Group, Inc. *

    3,350       6,633  

PriceSmart, Inc.

    747       53,396  

Proterra, Inc. *

    9,072       13,789  

Purple Innovation, Inc. *

    4,416       11,658  

Qurate Retail, Inc. Class A *

    26,196       25,876  

RCI Hospitality Holdings, Inc.

    43       3,361  

Red Rock Resorts, Inc. Class A

    2,127       94,800  

Reservoir Media, Inc. *

    202       1,317  

Resideo Technologies, Inc. *

    11,064       202,250  

REV Group, Inc.

    2,474       29,663  

Rite Aid Corp. *

    2,217       4,966  

Rocky Brands, Inc.

    489       11,281  

Rush Enterprises, Inc. Class A

    3,185       173,901  

Rush Enterprises, Inc. Class B

    530       31,742  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

267

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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Sally Beauty Holdings, Inc. *

    566       $ 8,818  

ScanSource, Inc. *

    1,887       57,440  

SeaWorld Entertainment, Inc. *

    1,519       93,130  

Shoe Carnival, Inc.

    1,275       32,704  

Signet Jewelers Ltd. (NYSE)

    3,422       266,163  

SkyWest, Inc. *

    3,869       85,776  

Sleep Number Corp. *

    885       26,913  

Snap One Holdings Corp. *

    1,368       12,791  

Solid Power, Inc. *

    6,001       18,063  

Sonic Automotive, Inc. Class A

    1,394       75,750  

Sovos Brands, Inc. *

    877       14,628  

Spirit Airlines, Inc.

    8,341       143,215  

Sportsman’s Warehouse Holdings, Inc. *

    2,785       23,617  

Standard Motor Products, Inc.

    1,582       58,392  

Steelcase, Inc. Class A

    6,864       57,795  

Superior Group of Cos., Inc.

    912       7,177  

Taylor Morrison Home Corp. *

    7,012       268,279  

ThredUp, Inc. Class A *

    3,742       9,467  

Tile Shop Holdings, Inc. *

    2,360       11,068  

Tilly’s, Inc. Class A *

    1,693       13,053  

Titan Machinery, Inc. *

    1,599       48,690  

Topgolf Callaway Brands Corp. *

    10,704       231,420  

Torrid Holdings, Inc. *

    693       3,021  

Traeger, Inc. *

    2,493       10,246  

TravelCenters of America, Inc. *

    974       84,251  

Tri Pointe Homes, Inc. *

    7,078       179,215  

Tupperware Brands Corp. *

    3,307       8,268  

TuSimple Holdings, Inc. Class A *

    10,619       15,610  

UniFirst Corp.

    1,145       201,783  

Universal Electronics, Inc. *

    903       9,156  

Urban Outfitters, Inc. *

    4,886       135,440  

Vinco Ventures, Inc. *

    11,951       3,840  

Virgin Galactic Holdings, Inc. *

    10,091       40,869  

Vista Outdoor, Inc. *

    4,279       118,571  

VSE Corp.

    798       35,830  

Wabash National Corp.

    462       11,361  

Weyco Group, Inc.

    463       11,714  

Wheels Up Experience, Inc. *

    12,134       7,678  

Winmark Corp.

    221       70,815  

Winnebago Industries, Inc.

    2,280       131,556  

Workhorse Group, Inc. *

    1,324       1,761  

World Fuel Services Corp.

    4,590       117,274  

Xperi, Inc. *

    3,124       34,145  

Xponential Fitness, Inc. Class A *

    1,061       32,244  

Zumiez, Inc. *

    1,282       23,640  
   

 

 

 
    10,646,264  
   

 

 

 

Consumer, Non-Cyclical - 16.2%

 

23andMe Holding Co. Class A *

    11,120       25,354  

2seventy bio, Inc. *

    2,794       28,499  

2U, Inc. *

    6,072       41,593  

4D Molecular Therapeutics, Inc. *

    2,247       38,626  

Aaron’s Co., Inc.

    2,261       21,841  

AbCellera Biologics, Inc. * (Canada)

    9,223       69,541  

ABM Industries, Inc.

    5,075       228,070  

Absci Corp. *

    3,947       6,907  

ACCO Brands Corp.

    6,888       36,644  

Accolade, Inc. *

    5,188       74,603  

Acrivon Therapeutics, Inc. *

    354       4,492  

AdaptHealth Corp. *

    5,591       69,496  

Adaptive Biotechnologies Corp. *

    8,230       72,671  

Addus HomeCare Corp. *

    729       77,828  

Adicet Bio, Inc. *

    2,267       13,058  

ADMA Biologics, Inc. *

    8,695       28,780  

Adtalem Global Education, Inc. *

    3,433       132,582  

Aerovate Therapeutics, Inc. *

    693       13,978  

Affimed NV * (Germany)

    1,132       844  

Agios Pharmaceuticals, Inc. *

    4,189       96,221  

Akero Therapeutics, Inc. *

    2,491       95,306  

Alico, Inc.

    525       12,705  

Alight, Inc. Class A *

    29,453       271,262  
   

    

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Allogene Therapeutics, Inc. *

    5,963       $ 29,457  

Allovir, Inc. *

    2,327       9,168  

Alpha Teknova, Inc. *

    552       1,634  

Alphatec Holdings, Inc. *

    571       8,908  

Alpine Immune Sciences, Inc. *

    981       7,573  

Alta Equipment Group, Inc.

    1,270       20,129  

ALX Oncology Holdings, Inc. *

    1,605       7,255  

American Public Education, Inc. *

    1,381       7,485  

American Well Corp. Class A *

    17,215       40,627  

Amylyx Pharmaceuticals, Inc. *

    3,120       91,541  

AN2 Therapeutics, Inc. *

    680       6,712  

AnaptysBio, Inc. *

    1,518       33,032  

Andersons, Inc.

    2,464       101,812  

AngioDynamics, Inc. *

    2,787       28,818  

ANI Pharmaceuticals, Inc. *

    956       37,972  

Anika Therapeutics, Inc. *

    1,091       31,334  

API Group Corp. *

    15,830       355,858  

AppHarvest, Inc. *

    8,750       5,358  

Arbutus Biopharma Corp. *

    3,927       11,899  

Arcellx, Inc. *

    2,297       70,771  

Arcturus Therapeutics Holdings, Inc. *

    251       6,016  

Arcus Biosciences, Inc. *

    3,991       72,796  

Artivion, Inc. *

    437       5,725  

Atara Biotherapeutics, Inc. *

    6,414       18,601  

Atea Pharmaceuticals, Inc. *

    5,711       19,132  

Athira Pharma, Inc. *

    2,540       6,350  

ATI Physical Therapy, Inc. *

    8,414       2,139  

AtriCure, Inc. *

    1,260       52,227  

Avanos Medical, Inc. *

    3,560       105,874  

Aveanna Healthcare Holdings, Inc. *

    3,393       3,529  

Avidity Biosciences, Inc. *

    5,006       76,842  

B&G Foods, Inc.

    5,463       84,840  

Bakkt Holdings, Inc. *

    4,370       7,516  

Barrett Business Services, Inc.

    47       4,166  

Beachbody Co., Inc. *

    6,512       3,140  

Beauty Health Co. *

    724       9,144  

Benson Hill, Inc. *

    6,586       7,574  

BioCryst Pharmaceuticals, Inc. *

    4,295       35,820  

Biohaven Ltd. *

    1,791       24,465  

BioLife Solutions, Inc. *

    2,450       53,287  

Bionano Genomics, Inc. *

    22,430       24,897  

Bioventus, Inc. Class A *

    2,147       2,297  

Bioxcel Therapeutics, Inc. *

    1,431       26,702  

Bird Global, Inc. Class A *

    20,795       5,821  

Bluebird Bio, Inc. *

    7,707       24,508  

Boxed, Inc. *

    6,406       1,216  

Bridgebio Pharma, Inc. *

    3,185       52,807  

Bright Health Group, Inc. *

    14,478       3,189  

BrightView Holdings, Inc. *

    3,060       17,197  

Brookdale Senior Living, Inc. *

    13,928       41,088  

Butterfly Network, Inc. *

    9,971       18,745  

C4 Therapeutics, Inc. *

    3,147       9,882  

Cal-Maine Foods, Inc.

    223       13,578  

Cara Therapeutics, Inc. *

    3,351       16,453  

Cardiovascular Systems, Inc. *

    1,393       27,665  

CareMax, Inc. *

    4,378       11,689  

Caribou Biosciences, Inc. *

    4,196       22,281  

Cass Information Systems, Inc.

    848       36,727  

Castle Biosciences, Inc. *

    1,840       41,805  

Celldex Therapeutics, Inc. *

    2,762       99,377  

Central Garden & Pet Co. *

    485       19,914  

Central Garden & Pet Co. Class A *

    2,017       78,804  

Century Therapeutics, Inc. *

    1,501       5,208  

Chefs’ Warehouse, Inc. *

    751       25,572  

Chimerix, Inc. *

    1,689       2,128  

Chinook Therapeutics, Inc. *

    3,906       90,424  

Cipher Mining, Inc. *

    2,772       6,459  

Cogent Biosciences, Inc. *

    5,007       54,026  

Community Health Systems, Inc. *

    9,847       48,250  

CompoSecure, Inc. *

    106       780  

CoreCivic, Inc. *

    8,819       81,135  

Crinetics Pharmaceuticals, Inc. *

    3,532       56,724  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

268

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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Value

 

Cross Country Healthcare, Inc. *

    2,432       $ 54,282  

CTI BioPharma Corp. *

    6,029       25,322  

Cue Health, Inc. *

    8,244       15,004  

Cullinan Oncology, Inc. *

    1,957       20,020  

Custom Truck One Source, Inc. *

    3,120       21,185  

Cytokinetics, Inc. *

    587       20,657  

Day One Biopharmaceuticals, Inc. *

    2,072       27,703  

Deciphera Pharmaceuticals, Inc. *

    2,914       45,021  

Deluxe Corp.

    3,406       54,496  

Design Therapeutics, Inc. *

    2,535       14,627  

DICE Therapeutics, Inc. *

    2,735       78,358  

Distribution Solutions Group, Inc. *

    51       2,318  

Dyne Therapeutics, Inc. *

    2,373       27,337  

Edgewell Personal Care Co.

    3,942       167,220  

Edgewise Therapeutics, Inc. *

    2,850       19,009  

Editas Medicine, Inc. *

    5,456       39,556  

Eiger BioPharmaceuticals, Inc. *

    402       361  

Embecta Corp.

    587       16,506  

Emergent BioSolutions, Inc. *

    3,766       39,016  

Enanta Pharmaceuticals, Inc. *

    1,391       56,252  

Ennis, Inc.

    2,019       42,581  

Enochian Biosciences, Inc. *

    2,038       1,865  

EQRx, Inc. *

    15,051       29,199  

Erasca, Inc. *

    5,396       16,242  

European Wax Center, Inc. Class A

    205       3,895  

EyePoint Pharmaceuticals, Inc. *

    1,650       4,851  

FibroGen, Inc. *

    730       13,622  

First Advantage Corp. *

    4,237       59,149  

Fresh Del Monte Produce, Inc.

    2,369       71,331  

Fulcrum Therapeutics, Inc. *

    3,847       10,964  

Fulgent Genetics, Inc. *

    1,647       51,419  

Gelesis Holdings, Inc. *

    1,158       188  

GeneDx Holdings Corp. *

    25,626       9,353  

Generation Bio Co. *

    3,612       15,532  

GEO Group, Inc. *

    9,185       72,470  

Geron Corp. *

    9,859       21,394  

Graham Holdings Co. Class B

    282       168,027  

Green Dot Corp. Class A *

    3,140       53,945  

Greenidge Generation Holdings, Inc. *

    1,077       487  

Hackett Group, Inc.

    166       3,068  

Hain Celestial Group, Inc. *

    6,853       117,529  

Healthcare Services Group, Inc.

    3,069       42,567  

Heidrick & Struggles International, Inc.

    1,545       46,906  

Herbalife Nutrition Ltd. *

    2,605       41,940  

HF Foods Group, Inc. *

    2,896       11,352  

HilleVax, Inc. *

    1,064       17,588  

Honest Co., Inc. *

    4,920       8,856  

Hostess Brands, Inc. *

    10,213       254,099  

Huron Consulting Group, Inc. *

    626       50,312  

ICF International, Inc.

    434       47,610  

Icosavax, Inc. *

    1,670       9,686  

Ideaya Biosciences, Inc. *

    3,483       47,822  

IGM Biosciences, Inc. *

    179       2,459  

ImmunityBio, Inc. *

    2,149       3,911  

ImmunoGen, Inc. *

    8,123       31,192  

Immunovant, Inc. *

    3,486       54,068  

Inari Medical, Inc. *

    320       19,757  

Information Services Group, Inc.

    1,439       7,325  

Ingles Markets, Inc. Class A

    1,095       97,126  

Innovage Holding Corp. *

    1,302       10,390  

Inogen, Inc. *

    1,626       20,292  

Inotiv, Inc. *

    1,342       5,811  

Inovio Pharmaceuticals, Inc. *

    18,508       15,177  

Instil Bio, Inc. *

    4,465       2,950  

Integer Holdings Corp. *

    2,521       195,377  

Intellia Therapeutics, Inc. *

    2,201       82,031  

Invitae Corp. *

    18,245       24,631  

Invivyd, Inc. *

    3,901       4,681  

Iovance Biotherapeutics, Inc. *

    11,667       71,285  

iTeos Therapeutics, Inc. *

    1,759       23,940  

Janux Therapeutics, Inc. *

    1,291       15,621  

John B Sanfilippo & Son, Inc.

    260       25,199  
   

    

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Value

 

John Wiley & Sons, Inc. Class A

    186       $ 7,211  

Jounce Therapeutics, Inc. *

    3,166       5,857  

KalVista Pharmaceuticals, Inc. *

    1,831       14,392  

Kelly Services, Inc. Class A

    2,526       41,906  

Keros Therapeutics, Inc. *

    60       2,562  

Kezar Life Sciences, Inc. *

    3,935       12,317  

Kiniksa Pharmaceuticals Ltd. Class A *

    140       1,506  

Kinnate Biopharma, Inc. *

    2,207       13,794  

Kodiak Sciences, Inc. *

    2,498       15,488  

Krispy Kreme, Inc.

    4,134       64,284  

Kronos Bio, Inc. *

    3,085       4,504  

Krystal Biotech, Inc. *

    1,096       87,746  

Kura Oncology, Inc. *

    5,077       62,092  

Kymera Therapeutics, Inc. *

    2,909       86,194  

Lancaster Colony Corp.

    238       48,285  

Laureate Education, Inc.

    10,286       120,963  

Leafly Holdings, Inc. *

    1,044       417  

Lexicon Pharmaceuticals, Inc. *

    3,925       9,538  

Lifecore Biomedical, Inc. *

    1,990       7,512  

LifeStance Health Group, Inc. *

    5,059       37,588  

Ligand Pharmaceuticals, Inc. *

    1,027       75,546  

Liquidia Corp. *

    1,311       9,059  

LivaNova PLC *

    1,006       43,841  

LiveRamp Holdings, Inc. *

    4,882       107,062  

Lyell Immunopharma, Inc. *

    12,969       30,607  

MacroGenics, Inc. *

    4,518       32,394  

MannKind Corp. *

    17,626       72,267  

Marathon Digital Holdings, Inc. *

    9,057       78,977  

MarketWise, Inc. *

    1,370       2,534  

Matthews International Corp. Class A

    2,307       83,190  

MaxCyte, Inc. *

    6,613       32,734  

MeiraGTx Holdings PLC *

    2,282       11,798  

Merit Medical Systems, Inc. *

    587       43,409  

Mersana Therapeutics, Inc. *

    6,924       28,458  

MiMedx Group, Inc. *

    8,458       28,842  

Mineralys Therapeutics, Inc. *

    503       7,877  

Mission Produce, Inc. *

    2,659       29,541  

ModivCare, Inc. *

    684       57,511  

MoneyGram International, Inc. *

    7,237       75,410  

Moneylion, Inc. *

    10,405       5,908  

Monro, Inc.

    2,391       118,187  

Monte Rosa Therapeutics, Inc. *

    2,239       17,442  

Morphic Holding, Inc. *

    280       10,539  

Multiplan Corp. *

    28,397       30,101  

Myriad Genetics, Inc. *

    6,084       141,331  

Nano-X Imaging Ltd. *

    3,122       18,014  

NanoString Technologies, Inc. *

    547       5,415  

National HealthCare Corp.

    982       57,025  

Natural Grocers by Vitamin Cottage, Inc.

    169       1,986  

Nature’s Sunshine Products, Inc. *

    1,029       10,506  

Nautilus Biotechnology, Inc. SPAC *

    3,668       10,160  

Nektar Therapeutics *

    13,589       9,552  

Neogen Corp. *

    1,315       24,354  

NeoGenomics, Inc. *

    9,629       167,641  

NGM Biopharmaceuticals, Inc. *

    1,199       4,892  

Nkarta, Inc. *

    2,445       8,680  

Nurix Therapeutics, Inc. *

    3,476       30,867  

Nuvalent, Inc. Class A *

    1,590       41,483  

Nuvation Bio, Inc. *

    8,751       14,527  

OmniAb, Inc. *

    5,057       18,610  

OPKO Health, Inc. *

    30,306       44,247  

OraSure Technologies, Inc. *

    5,379       32,543  

Orthofix Medical, Inc. *

    2,571       43,064  

Oscar Health, Inc. Class A *

    9,040       59,122  

Owens & Minor, Inc. *

    5,078       73,885  

P3 Health Partners, Inc. *

    1,094       1,160  

Pacific Biosciences of California, Inc. *

    18,948       219,418  

Pardes Biosciences, Inc. *

    2,172       2,867  

Patterson Cos., Inc.

    1,389       37,184  

Paysafe Ltd. *

    2,106       36,371  

Pediatrix Medical Group, Inc. *

    6,290       93,784  

PepGen, Inc. *

    918       11,227  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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Value

 

Perdoceo Education Corp. *

    5,221       $ 70,118  

PetIQ, Inc. *

    417       4,770  

PFSweb, Inc.

    1,270       5,385  

PhenomeX, Inc. *

    4,254       4,935  

Phibro Animal Health Corp. Class A

    107       1,639  

PMV Pharmaceuticals, Inc. *

    2,752       13,127  

Point Biopharma Global, Inc. SPAC *

    336       2,443  

Praxis Precision Medicines, Inc. *

    4,093       3,311  

Precigen, Inc. *

    1,853       1,964  

Prestige Consumer Healthcare, Inc. *

    3,810       238,620  

Prime Medicine, Inc. *

    451       5,547  

Primo Water Corp.

    12,056       185,060  

PROG Holdings, Inc. *

    3,256       77,460  

Protagonist Therapeutics, Inc. *

    3,592       82,616  

Provention Bio, Inc. *

    683       16,460  

PTC Therapeutics, Inc. *

    1,334       64,619  

Quad/Graphics, Inc. *

    2,440       10,468  

Quanex Building Products Corp.

    2,606       56,107  

Quanterix Corp. *

    2,207       24,873  

Quantum-Si, Inc. *

    6,885       12,118  

Rallybio Corp. *

    359       2,050  

RAPT Therapeutics, Inc. *

    685       12,570  

Reata Pharmaceuticals, Inc. Class A *

    343       31,186  

Recursion Pharmaceuticals, Inc. Class A *

    9,627       64,212  

REGENXBIO, Inc. *

    3,128       59,150  

Relay Therapeutics, Inc. *

    6,011       99,001  

Relmada Therapeutics, Inc. *

    865       1,955  

Repay Holdings Corp. *

    6,957       45,707  

Replimune Group, Inc. *

    3,617       63,876  

Resources Connection, Inc.

    2,415       41,200  

REVOLUTION Medicines, Inc. *

    5,701       123,484  

Riot Platforms, Inc. *

    12,168       121,558  

Rocket Pharmaceuticals, Inc. *

    4,320       74,002  

RxSight, Inc. *

    124       2,068  

Sabre Corp. *

    20,051       86,019  

Sage Therapeutics, Inc. *

    3,985       167,211  

Sana Biotechnology, Inc. *

    6,665       21,795  

Sangamo Therapeutics, Inc. *

    9,427       16,592  

Science 37 Holdings, Inc. *

    596       168  

Scilex Holding Co. *

    6,404       52,513  

Seer, Inc. *

    3,871       14,942  

Select Medical Holdings Corp.

    1,272       32,881  

Seneca Foods Corp. Class A *

    384       20,072  

Singular Genomics Systems, Inc. *

    4,298       5,201  

SomaLogic, Inc. *

    10,072       25,684  

SpartanNash Co.

    2,708       67,158  

Spire Global, Inc. *

    9,436       6,303  

SpringWorks Therapeutics, Inc. *

    2,254       58,018  

Sterling Check Corp. *

    210       2,341  

Stoke Therapeutics, Inc. *

    1,681       14,003  

StoneCo Ltd. Class A * (Brazil)

    10,235       97,642  

Strategic Education, Inc.

    1,737       156,035  

SunOpta, Inc. * (Canada)

    491       3,781  

Supernus Pharmaceuticals, Inc. *

    3,795       137,493  

Surgery Partners, Inc. *

    442       15,236  

Sutro Biopharma, Inc. *

    4,038       18,656  

Syndax Pharmaceuticals, Inc. *

    3,554       75,060  

Tactile Systems Technology, Inc. *

    954       15,665  

Talaris Therapeutics, Inc. *

    1,484       2,790  

Tango Therapeutics, Inc. *

    3,506       13,849  

Tarsus Pharmaceuticals, Inc. *

    1,379       17,334  

Tattooed Chef, Inc. *

    441       626  

Tejon Ranch Co. *

    1,568       28,647  

Tenaya Therapeutics, Inc. *

    3,307       9,425  

Textainer Group Holdings Ltd. (China)

    2,885       92,637  

Theravance Biopharma, Inc. *

    527       5,718  

Theseus Pharmaceuticals, Inc. *

    1,277       11,340  

Third Harmonic Bio, Inc. *

    815       3,358  

Tootsie Roll Industries, Inc.

    169       7,579  

Travere Therapeutics, Inc. *

    416       9,356  

TreeHouse Foods, Inc. *

    3,891       196,223  

Triton International Ltd. (Bermuda)

    4,459       281,898  
   

    

Shares

   

Value

 

TrueBlue, Inc. *

    2,552       $ 45,426  

Twist Bioscience Corp. *

    1,285       19,378  

Tyra Biosciences, Inc. *

    1,006       16,166  

United Natural Foods, Inc. *

    4,260       112,251  

Universal Corp.

    1,859       98,322  

Utah Medical Products, Inc.

    33       3,127  

Utz Brands, Inc.

    646       10,640  

V2X, Inc. *

    901       35,788  

Vanda Pharmaceuticals, Inc. *

    4,140       28,111  

Varex Imaging Corp. *

    2,888       52,533  

Vaxart, Inc. *

    7,595       5,747  

VBI Vaccines, Inc. *

    14,739       4,466  

Vector Group Ltd.

    9,451       113,506  

Vera Therapeutics, Inc. *

    130       1,009  

Veracyte, Inc. *

    5,481       122,226  

Verve Therapeutics, Inc. *

    3,117       44,947  

Viad Corp. *

    1,520       31,677  

ViewRay, Inc. *

    1,252       4,332  

Village Super Market, Inc. Class A

    644       14,735  

Vintage Wine Estates, Inc. *

    3,337       3,571  

Vir Biotechnology, Inc. *

    5,547       129,079  

Viridian Therapeutics, Inc. *

    770       19,589  

VistaGen Therapeutics, Inc. *

    4,412       550  

Weis Markets, Inc.

    1,262       106,854  

Whole Earth Brands, Inc. *

    3,041       7,785  

Willdan Group, Inc. *

    793       12,387  

WW International, Inc. *

    4,051       16,690  

Xencor, Inc. *

    4,391       122,465  

Zentalis Pharmaceuticals, Inc. *

    167       2,872  

Zimvie, Inc. *

    1,557       11,257  
   

 

 

 
    14,247,796  
   

 

 

 

Energy - 5.3%

 

Aemetis, Inc. *

    2,237       5,190  

Alto Ingredients, Inc. *

    5,408       8,112  

Amplify Energy Corp. *

    604       4,149  

Archrock, Inc.

    10,396       101,569  

Berry Corp.

    4,742       37,225  

Borr Drilling Ltd. * (United Arab Emirates)

    8,554       64,839  

Bristow Group, Inc. *

    1,748       39,155  

California Resources Corp.

    5,665       218,102  

Callon Petroleum Co. *

    614       20,532  

Chord Energy Corp.

    1,290       173,634  

Civitas Resources, Inc.

    5,642       385,574  

Cleanspark, Inc. *

    5,394       14,995  

CNX Resources Corp. *

    12,169       194,947  

CONSOL Energy, Inc.

    148       8,624  

Diamond Offshore Drilling, Inc. *

    7,832       94,297  

DMC Global, Inc. *

    1,047       23,003  

Dril-Quip, Inc. *

    2,600       74,594  

Eneti, Inc.

    1,664       15,558  

Equitrans Midstream Corp.

    23,969       138,541  

Excelerate Energy, Inc. Class A

    1,388       30,730  

Expro Group Holdings NV *

    6,640       121,910  

FuelCell Energy, Inc. *

    8,394       23,923  

FutureFuel Corp.

    1,935       14,280  

Gevo, Inc. *

    14,716       22,663  

Golar LNG Ltd. * (Cameroon)

    7,290       157,464  

Green Plains, Inc. *

    4,028       124,828  

Helix Energy Solutions Group, Inc. *

    11,050       85,527  

Helmerich & Payne, Inc.

    7,865       281,174  

Kinetik Holdings, Inc.

    1,127       35,275  

Murphy Oil Corp.

    6,349       234,786  

Nabors Industries Ltd. *

    83       10,119  

NACCO Industries, Inc. Class A

    308       11,110  

National Energy Services Reunited Corp. *

    2,854       15,012  

Newpark Resources, Inc. *

    6,470       24,910  

NextDecade Corp. *

    487       2,420  

Noble Corp. PLC *

    5,290       208,796  

Northern Oil & Gas, Inc.

    739       22,429  

NOW, Inc. *

    8,505       94,831  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

270

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

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Value

 

Oceaneering International, Inc. *

    700       $ 12,341  

Oil States International, Inc. *

    4,712       39,251  

Patterson-UTI Energy, Inc.

    5,182       60,629  

PBF Energy, Inc. Class A

    7,002       303,607  

Peabody Energy Corp. *

    9,007       230,579  

Permian Resources Corp.

    15,635       164,168  

ProFrac Holding Corp. Class A *

    948       12,011  

ProPetro Holding Corp. *

    6,857       49,302  

REX American Resources Corp. *

    1,165       33,307  

Riley Exploration Permian, Inc.

    300       11,418  

Ring Energy, Inc. *

    4,160       7,904  

Select Energy Services, Inc. Class A

    5,345       37,201  

Stem, Inc. *

    522       2,960  

SunCoke Energy, Inc.

    6,523       58,577  

Sunnova Energy International, Inc. *

    7,625       119,103  

Tidewater, Inc. *

    3,563       157,057  

US Silica Holdings, Inc. *

    4,718       56,333  

Vertex Energy, Inc. *

    457       4,515  

W&T Offshore, Inc. *

    1,203       6,111  

Warrior Met Coal, Inc.

    3,522       129,293  
   

 

 

 
    4,640,494  
   

 

 

 

Financial - 34.8%

 

1st Source Corp.

    1,266       54,628  

Acadia Realty Trust REIT

    6,962       97,120  

ACNB Corp.

    649       21,125  

AFC Gamma, Inc. REIT

    1,219       14,823  

Agree Realty Corp. REIT

    6,697       459,481  

Alerus Financial Corp.

    1,155       18,538  

Alexander & Baldwin, Inc. REIT *

    5,435       102,776  

Amalgamated Financial Corp.

    1,452       25,686  

Ambac Financial Group, Inc. *

    3,478       53,839  

Amerant Bancorp, Inc.

    2,193       47,720  

American Assets Trust, Inc. REIT

    3,697       68,727  

American Equity Investment Life Holding Co.

    5,417       197,666  

American National Bankshares, Inc.

    809       25,645  

American Realty Investors, Inc. *

    146       3,843  

Ameris Bancorp

    5,082       185,900  

AMERISAFE, Inc.

    1,490       72,936  

Angel Oak Mortgage REIT, Inc. REIT

    895       6,534  

Anywhere Real Estate, Inc. *

    8,519       44,980  

Apartment Investment & Management Co. Class A REIT

    11,579       89,043  

Apollo Commercial Real Estate Finance, Inc. REIT

    10,833       100,855  

Apple Hospitality REIT, Inc.

    16,460       255,459  

Applied Digital Corp. *

    3,067       6,870  

Arbor Realty Trust, Inc. REIT

    12,635       145,176  

Ares Commercial Real Estate Corp. REIT

    3,858       35,069  

Argo Group International Holdings Ltd.

    2,459       72,024  

Armada Hoffler Properties, Inc. REIT

    5,032       59,428  

ARMOUR Residential REIT, Inc.

    12,595       66,124  

Arrow Financial Corp.

    1,163       28,970  

Artisan Partners Asset Management, Inc. Class A

    1,643       52,543  

Ashford Hospitality Trust, Inc. REIT *

    2,569       8,247  

AssetMark Financial Holdings, Inc. *

    1,692       53,213  

Associated Banc-Corp.

    11,417       205,278  

Associated Capital Group, Inc. Class A

    158       5,838  

Atlantic Union Bankshares Corp.

    5,609       196,595  

Atlanticus Holdings Corp. *

    101       2,740  

Axos Financial, Inc. *

    3,855       142,327  

Banc of California, Inc.

    3,844       48,165  

BancFirst Corp.

    617       51,273  

Banco Latinoamericano de Comercio Exterior SA Class E (Panama)

    2,212       38,445  

Bancorp, Inc. *

    1,678       46,732  

Bank First Corp.

    585       43,044  

Bank of Marin Bancorp

    1,272       27,844  

Bank of NT Butterfield & Son Ltd. (Bermuda)

    3,590       96,930  

BankUnited, Inc.

    5,634       127,216  

Bankwell Financial Group, Inc.

    458       11,386  

Banner Corp.

    2,563       139,350  
   

    

Shares

   

Value

 

Bar Harbor Bankshares

    1,137       $ 30,074  

BayCom Corp.

    856       14,620  

BCB Bancorp, Inc.

    1,252       16,439  

Berkshire Hills Bancorp, Inc.

    3,201       80,217  

BGC Partners, Inc. Class A

    24,122       126,158  

Blackstone Mortgage Trust, Inc. Class A REIT

    13,181       235,281  

Blue Foundry Bancorp *

    2,165       20,611  

Blue Ridge Bankshares, Inc.

    1,380       14,076  

Bluerock Homes Trust, Inc. REIT *

    287       5,688  

Braemar Hotels & Resorts, Inc. REIT

    4,815       18,586  

Brandywine Realty Trust REIT

    12,668       59,920  

Bread Financial Holdings, Inc.

    3,745       113,548  

Bridgewater Bancshares, Inc. *

    1,209       13,106  

Brightsphere Investment Group, Inc.

    174       4,103  

BrightSpire Capital, Inc. REIT

    7,056       41,630  

Broadmark Realty Capital, Inc. REIT

    10,315       48,481  

Broadstone Net Lease, Inc. REIT

    13,241       225,229  

Brookfield Business Corp. Class A (Canada)

    226       4,479  

Brookline Bancorp, Inc.

    6,352       66,696  

BRT Apartments Corp. REIT

    903       17,807  

Business First Bancshares, Inc.

    1,904       32,616  

Byline Bancorp, Inc.

    1,954       42,246  

Cadence Bank

    12,781       265,334  

Cambridge Bancorp

    550       35,646  

Camden National Corp.

    1,090       39,447  

Cannae Holdings, Inc. *

    5,340       107,761  

Capital Bancorp, Inc.

    691       11,498  

Capital City Bank Group, Inc.

    1,036       30,365  

Capitol Federal Financial, Inc.

    9,524       64,097  

Capstar Financial Holdings, Inc.

    1,705       25,831  

CareTrust REIT, Inc.

    6,986       136,786  

Carter Bankshares, Inc. *

    1,794       25,116  

Cathay General Bancorp

    5,338       184,268  

CBL & Associates Properties, Inc. REIT

    1,770       45,383  

Centerspace REIT

    1,127       61,568  

Central Pacific Financial Corp.

    1,985       35,532  

Chatham Lodging Trust REIT

    3,579       37,544  

Chicago Atlantic Real Estate Finance, Inc.

    381       5,147  

Chimera Investment Corp. REIT

    17,888       100,888  

Citizens & Northern Corp.

    1,173       25,079  

City Holding Co.

    1,106       100,513  

City Office REIT, Inc.

    2,924       20,176  

Civista Bancshares, Inc.

    1,196       20,188  

Claros Mortgage Trust, Inc. REIT

    7,120       82,948  

Clipper Realty, Inc. REIT

    405       2,325  

CNB Financial Corp.

    1,521       29,203  

CNO Financial Group, Inc.

    8,685       192,720  

Colony Bankcorp, Inc.

    1,268       12,934  

Columbia Financial, Inc. *

    1,791       32,739  

Community Bank System, Inc.

    4,000       209,960  

Community Healthcare Trust, Inc. REIT

    789       28,877  

Community Trust Bancorp, Inc.

    1,242       47,134  

Compass Diversified Holdings

    4,791       91,412  

ConnectOne Bancorp, Inc.

    2,920       51,626  

Consumer Portfolio Services, Inc. *

    707       7,558  

Corporate Office Properties Trust REIT

    7,603       180,267  

Crawford & Co. Class A

    1,208       10,099  

CrossFirst Bankshares, Inc. *

    3,576       37,476  

Cryptyde, Inc. *

    848       71  

CTO Realty Growth, Inc. REIT

    1,777       30,671  

Curo Group Holdings Corp.

    675       1,168  

Customers Bancorp, Inc. *

    2,270       42,040  

CVB Financial Corp.

    9,984       166,533  

DiamondRock Hospitality Co. REIT

    16,047       130,462  

Dime Community Bancshares, Inc.

    2,440       55,437  

Diversified Healthcare Trust REIT

    17,854       24,103  

Doma Holdings, Inc. *

    9,595       3,910  

Donegal Group, Inc. Class A

    1,172       17,908  

Douglas Elliman, Inc.

    5,278       16,415  

Dynex Capital, Inc. REIT

    3,932       47,656  

Eagle Bancorp, Inc.

    2,304       77,115  

Easterly Government Properties, Inc. REIT

    6,811       93,583  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

271

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

Eastern Bankshares, Inc.

    9,347       $ 117,959  

eHealth, Inc. *

    1,329       12,439  

Ellington Financial, Inc. REIT

    4,952       60,464  

Elme Communities REIT

    6,542       116,840  

Empire State Realty Trust, Inc. Class A REIT

    9,962       64,653  

Employers Holdings, Inc.

    2,036       84,881  

Enact Holdings, Inc.

    2,361       53,972  

Encore Capital Group, Inc. *

    1,786       90,104  

Enova International, Inc. *

    2,301       102,233  

Enstar Group Ltd. *

    860       199,339  

Enterprise Bancorp, Inc.

    705       22,179  

Enterprise Financial Services Corp.

    2,699       120,348  

Equity Bancshares, Inc. Class A

    1,232       30,024  

Equity Commonwealth REIT

    8,018       166,053  

Esquire Financial Holdings, Inc.

    80       3,128  

Essent Group Ltd.

    8,062       322,883  

Essential Properties Realty Trust, Inc. REIT

    9,755       242,412  

EZCORP, Inc. Class A *

    3,661       31,485  

Farmers & Merchants Bancorp, Inc.

    674       16,392  

Farmers National Banc Corp.

    2,813       35,556  

Farmland Partners, Inc. REIT

    3,977       42,554  

FB Financial Corp.

    2,770       86,092  

Federal Agricultural Mortgage Corp. Class C

    704       93,766  

Finance Of America Cos., Inc. Class A *

    3,068       3,804  

Financial Institutions, Inc.

    1,260       24,293  

First BanCorp

    12,488       142,613  

First Bancorp, Inc.

    770       19,935  

First Bancorp/Southern Pines NC

    2,871       101,978  

First Bancshares, Inc.

    1,937       50,033  

First Bank

    1,170       11,817  

First Busey Corp.

    4,002       81,401  

First Business Financial Services, Inc.

    602       18,367  

First Commonwealth Financial Corp.

    7,612       94,617  

First Community Bankshares, Inc.

    1,216       30,461  

First Financial Bancorp

    6,976       151,868  

First Financial Corp.

    897       33,620  

First Foundation, Inc.

    4,135       30,806  

First Guaranty Bancshares, Inc.

    431       6,754  

First Internet Bancorp

    636       10,589  

First Interstate BancSystem, Inc. Class A

    6,838       204,183  

First Merchants Corp.

    4,382       144,387  

First Mid Bancshares, Inc.

    1,442       39,251  

First of Long Island Corp.

    1,775       23,963  

First Western Financial, Inc. *

    623       12,335  

Five Star Bancorp

    633       13,508  

Flushing Financial Corp.

    2,243       33,398  

Four Corners Property Trust, Inc. REIT

    5,813       156,137  

Franklin BSP Realty Trust, Inc. REIT

    6,224       74,252  

Franklin Street Properties Corp. REIT

    7,419       11,648  

FRP Holdings, Inc. *

    518       29,982  

Fulton Financial Corp.

    12,412       171,534  

FVCBankcorp, Inc. *

    1,273       13,557  

GCM Grosvenor, Inc. Class A

    596       4,655  

Genworth Financial, Inc. Class A *

    37,068       186,081  

German American Bancorp, Inc.

    2,113       70,511  

Getty Realty Corp. REIT

    3,155       113,675  

Glacier Bancorp, Inc.

    7,399       310,832  

Gladstone Commercial Corp. REIT

    368       4,648  

Gladstone Land Corp. REIT

    1,097       18,265  

Global Medical REIT, Inc.

    4,573       41,660  

Global Net Lease, Inc. REIT

    8,003       102,919  

Goosehead Insurance, Inc. Class A *

    175       9,135  

Granite Point Mortgage Trust, Inc. REIT

    3,876       19,225  

Great Southern Bancorp, Inc.

    715       36,236  

Greenlight Capital Re Ltd. Class A *

    1,984       18,630  

Guaranty Bancshares, Inc.

    626       17,447  

Hancock Whitney Corp.

    6,594       240,022  

Hanmi Financial Corp.

    2,257       41,913  

Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT

    6,231       178,207  

HarborOne Bancorp, Inc.

    3,473       42,371  

HBT Financial, Inc.

    915       18,044  
   

    

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Heartland Financial USA, Inc.

    3,143       $ 120,566  

Heritage Commerce Corp.

    4,696       39,118  

Heritage Financial Corp.

    2,591       55,447  

Hersha Hospitality Trust REIT

    2,202       14,797  

Hilltop Holdings, Inc.

    3,820       113,339  

Hingham Institution For Savings

    103       24,044  

Hippo Holdings, Inc. *

    1,290       20,937  

Home Bancorp, Inc.

    574       18,959  

Home BancShares, Inc.

    14,385       312,298  

Home Point Capital, Inc.

    1,033       1,994  

HomeStreet, Inc.

    1,340       24,107  

HomeTrust Bancshares, Inc.

    985       24,221  

Hope Bancorp, Inc.

    8,651       84,953  

Horace Mann Educators Corp.

    3,073       102,884  

Horizon Bancorp, Inc.

    3,237       35,801  

Independence Realty Trust, Inc. REIT

    17,183       275,444  

Independent Bank Corp.

    3,429       225,011  

Independent Bank Corp. MI

    1,511       26,850  

Independent Bank Group, Inc.

    2,738       126,906  

Indus Realty Trust, Inc. REIT

    432       28,637  

Industrial Logistics Properties Trust REIT

    4,606       14,140  

International Bancshares Corp.

    4,101       175,605  

InvenTrust Properties Corp. REIT

    5,190       121,446  

Invesco Mortgage Capital, Inc. REIT

    2,646       29,344  

Investors Title Co.

    85       12,835  

iStar, Inc. REIT *

    1,819       53,423  

Jackson Financial, Inc. Class A

    5,723       214,097  

James River Group Holdings Ltd.

    2,757       56,932  

John Marshall Bancorp, Inc.

    900       19,440  

Kearny Financial Corp.

    4,462       36,231  

Kennedy-Wilson Holdings, Inc.

    9,035       149,891  

Kite Realty Group Trust REIT

    16,670       348,736  

KKR Real Estate Finance Trust, Inc. REIT

    4,505       51,312  

Ladder Capital Corp. REIT

    8,795       83,113  

Lakeland Bancorp, Inc.

    4,837       75,651  

Lakeland Financial Corp.

    147       9,208  

Legacy Housing Corp. *

    660       15,022  

Lemonade, Inc. *

    3,693       52,662  

LendingClub Corp. *

    7,854       56,627  

Live Oak Bancshares, Inc.

    601       14,646  

LTC Properties, Inc. REIT

    3,062       107,568  

Luther Burbank Corp.

    1,189       11,272  

LXP Industrial Trust REIT

    20,820       214,654  

Macatawa Bank Corp.

    2,001       20,450  

Macerich Co. REIT

    16,479       174,677  

MBIA, Inc. *

    3,594       33,280  

Mercantile Bank Corp.

    1,173       35,870  

Merchants Bancorp

    1,184       30,831  

Mercury General Corp.

    2,084       66,146  

Metrocity Bankshares, Inc.

    1,093       18,679  

Metropolitan Bank Holding Corp. *

    781       26,468  

MFA Financial, Inc. REIT

    7,936       78,725  

Mid Penn Bancorp, Inc.

    1,088       27,864  

Midland States Bancorp, Inc.

    1,594       34,143  

MidWestOne Financial Group, Inc.

    1,172       28,620  

Moelis & Co. Class A

    2,448       94,101  

Mr Cooper Group, Inc. *

    5,303       217,264  

MVB Financial Corp.

    775       15,996  

National Bank Holdings Corp. Class A

    2,025       67,757  

National Health Investors, Inc. REIT

    3,195       164,798  

National Western Life Group, Inc. Class A

    171       41,488  

Navient Corp.

    7,811       124,898  

NBT Bancorp, Inc.

    3,137       105,748  

Necessity Retail REIT, Inc. REIT

    10,440       65,563  

Nelnet, Inc. Class A

    1,121       103,009  

NETSTREIT Corp. REIT

    4,245       77,599  

New York Mortgage Trust, Inc. *

    6,933       69,053  

Newmark Group, Inc. Class A

    9,741       68,966  

Nexpoint Real Estate Finance, Inc. REIT

    613       9,606  

NexPoint Residential Trust, Inc. REIT

    95       4,149  

NI Holdings, Inc. *

    684       8,892  

Nicolet Bankshares, Inc. *

    857       54,034  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

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March 31, 2023 (Unaudited)

 

 

 

   

    

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NMI Holdings, Inc. Class A *

    5,849       $ 130,608  

Northeast Bank

    494       16,628  

Northfield Bancorp, Inc.

    3,183       37,496  

Northwest Bancshares, Inc.

    9,110       109,593  

OceanFirst Financial Corp.

    4,494       83,049  

Office Properties Income Trust REIT

    3,588       44,132  

OFG Bancorp

    3,483       86,866  

Old National Bancorp

    22,439       323,570  

Old Second Bancorp, Inc.

    3,345       47,031  

One Liberty Properties, Inc. REIT

    1,238       28,387  

Oportun Financial Corp. *

    2,090       8,067  

Oppenheimer Holdings, Inc. Class A

    587       22,981  

OppFi, Inc. *

    1,461       2,995  

Orchid Island Capital, Inc. REIT

    3,017       32,372  

Origin Bancorp, Inc.

    1,759       56,552  

Orion Office REIT, Inc. REIT

    4,237       28,388  

Orrstown Financial Services, Inc.

    814       16,166  

Pacific Premier Bancorp, Inc.

    7,009       168,356  

Paramount Group, Inc. REIT

    14,571       66,444  

Park National Corp.

    1,097       130,071  

Parke Bancorp, Inc.

    777       13,815  

Pathward Financial, Inc.

    1,472       61,073  

PCB Bancorp

    859       12,447  

Peapack-Gladstone Financial Corp.

    1,298       38,447  

Pebblebrook Hotel Trust REIT

    9,718       136,441  

PennyMac Financial Services, Inc.

    2,048       122,081  

PennyMac Mortgage Investment Trust REIT

    5,362       66,113  

Peoples Bancorp, Inc.

    2,183       56,212  

Peoples Financial Services Corp.

    550       23,843  

Perella Weinberg Partners

    312       2,839  

Physicians Realty Trust REIT

    17,440       260,379  

Piedmont Office Realty Trust, Inc. Class A REIT

    9,540       69,642  

Pioneer Bancorp, Inc. *

    950       9,367  

Piper Sandler Cos.

    1,330       184,351  

Plymouth Industrial REIT, Inc. REIT

    2,839       59,647  

Postal Realty Trust, Inc. Class A REIT

    570       8,675  

PotlatchDeltic Corp. REIT

    5,522       273,339  

PRA Group, Inc. *

    2,947       114,815  

Preferred Bank

    417       22,856  

Premier Financial Corp.

    2,774       57,505  

Primis Financial Corp.

    1,691       16,284  

ProAssurance Corp.

    4,021       74,308  

Provident Bancorp, Inc.

    1,075       7,353  

Provident Financial Services, Inc.

    5,464       104,800  

QCR Holdings, Inc.

    1,250       54,888  

Radian Group, Inc.

    11,782       260,382  

Radius Global Infrastructure, Inc. Class A *

    5,914       86,758  

RBB Bancorp

    1,151       17,841  

RE/MAX Holdings, Inc. Class A

    1,322       24,801  

Ready Capital Corp. REIT

    5,614       57,094  

Red River Bancshares, Inc.

    332       15,973  

Redwood Trust, Inc. REIT

    8,492       57,236  

Regional Management Corp.

    563       14,689  

Renasant Corp.

    4,104       125,500  

Republic Bancorp, Inc. Class A

    669       28,386  

Republic First Bancorp, Inc. *

    4,635       6,304  

Retail Opportunity Investments Corp. REIT

    9,227       128,809  

RLJ Lodging Trust REIT

    12,271       130,073  

RMR Group, Inc. Class A

    435       11,414  

Root, Inc. Class A *

    955       4,307  

RPT Realty REIT

    6,330       60,198  

Ryman Hospitality Properties, Inc. REIT

    4,117       369,418  

S&T Bancorp, Inc.

    2,930       92,149  

Sabra Health Care REIT, Inc.

    17,660       203,090  

Safety Insurance Group, Inc.

    1,068       79,587  

Sandy Spring Bancorp, Inc.

    3,359       87,267  

Saul Centers, Inc. REIT

    87       3,393  

Sculptor Capital Management, Inc.

    966       8,317  

Seacoast Banking Corp. of Florida

    5,395       127,862  

Selective Insurance Group, Inc.

    4,566       435,277  

Selectquote, Inc. *

    10,175       22,080  

Service Properties Trust REIT

    12,566       125,157  
   

    

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Shore Bancshares, Inc.

    1,487       $ 21,234  

Sierra Bancorp

    1,171       20,165  

Silvercrest Asset Management Group, Inc. Class A

    151       2,745  

Simmons First National Corp. Class A

    9,114       159,404  

SiriusPoint Ltd. * (Bermuda)

    6,335       51,504  

SITE Centers Corp. REIT

    14,695       180,455  

Skyward Specialty Insurance Group, Inc. *

    705       15,418  

SmartFinancial, Inc.

    1,184       27,398  

South Plains Financial, Inc.

    752       16,100  

Southern First Bancshares, Inc. *

    642       19,709  

Southern Missouri Bancorp, Inc.

    637       23,830  

Southside Bancshares, Inc.

    2,246       74,567  

SouthState Corp.

    5,737       408,819  

STAG Industrial, Inc. REIT

    13,804       466,851  

Star Holdings *

    1,010       17,564  

Stellar Bancorp, Inc.

    3,502       86,184  

Sterling Bancorp, Inc. *

    1,330       7,528  

Stewart Information Services Corp.

    2,005       80,902  

Stock Yards Bancorp, Inc.

    377       20,788  

StoneX Group, Inc. *

    1,225       126,824  

Stratus Properties, Inc.

    451       9,020  

Summit Financial Group, Inc.

    859       17,824  

Summit Hotel Properties, Inc. REIT

    7,843       54,901  

Sunlight Financial Holdings, Inc. *

    2,771       865  

Sunstone Hotel Investors, Inc. REIT

    16,229       160,343  

SWK Holdings Corp. *

    275       4,912  

Terreno Realty Corp. REIT

    6,172       398,711  

Texas Capital Bancshares, Inc. *

    3,699       181,103  

Third Coast Bancshares, Inc. *

    917       14,406  

Tiptree, Inc.

    1,870       27,246  

Tompkins Financial Corp.

    1,049       69,454  

Towne Bank

    5,296       141,138  

TPG RE Finance Trust, Inc. REIT

    5,184       37,636  

Transcontinental Realty Investors, Inc. REIT *

    99       4,197  

Trean Insurance Group, Inc. *

    1,677       10,263  

TriCo Bancshares

    2,407       100,107  

Triumph Financial, Inc. *

    1,084       62,937  

TrustCo Bank Corp.

    1,395       44,556  

Trustmark Corp.

    4,587       113,299  

Two Harbors Investment Corp. REIT

    7,415       109,075  

UMB Financial Corp.

    3,368       194,401  

UMH Properties, Inc. REIT

    699       10,338  

United Bankshares, Inc.

    9,989       351,613  

United Community Banks, Inc.

    7,964       223,948  

United Fire Group, Inc.

    1,604       42,586  

Uniti Group, Inc. REIT

    18,484       65,618  

Unity Bancorp, Inc.

    552       12,591  

Universal Insurance Holdings, Inc.

    1,587       28,915  

Univest Financial Corp.

    2,266       53,795  

Urban Edge Properties REIT

    8,762       131,956  

Urstadt Biddle Properties, Inc. Class A REIT

    2,146       37,705  

USCB Financial Holdings, Inc. *

    856       8,466  

Valley National Bancorp

    32,961       304,560  

Velocity Financial, Inc. *

    607       5,481  

Veris Residential, Inc. REIT *

    6,623       96,961  

Veritex Holdings, Inc.

    3,353       61,226  

Victory Capital Holdings, Inc. Class A

    852       24,938  

Virtus Investment Partners, Inc.

    464       88,341  

Walker & Dunlop, Inc.

    731       55,680  

Washington Federal, Inc.

    4,848       146,022  

Washington Trust Bancorp, Inc.

    1,350       46,791  

Waterstone Financial, Inc.

    1,579       23,890  

WesBanco, Inc.

    4,383       134,558  

West BanCorp, Inc.

    1,014       18,526  

Westamerica BanCorp

    1,459       64,634  

Whitestone REIT

    3,511       32,301  

World Acceptance Corp. *

    89       7,413  

WSFS Financial Corp.

    4,586       172,479  

Xenia Hotels & Resorts, Inc. REIT

    8,565       112,116  
   

 

 

 
    30,614,909  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

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March 31, 2023 (Unaudited)

 

 

 

   

    

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Industrial - 12.8%

 

 

908 Devices, Inc. *

    1,277       $10,982  

AAR Corp. *

    2,532       138,121  

Aerojet Rocketdyne Holdings, Inc. *

    1,509       84,761  

AerSale Corp. *

    1,850       31,857  

Air Transport Services Group, Inc. *

    2,811       58,553  

Akoustis Technologies, Inc. *

    361       1,112  

Alamo Group, Inc.

    113       20,810  

Albany International Corp. Class A

    1,918       171,393  

Allied Motion Technologies, Inc.

    131       5,063  

American Woodmark Corp. *

    1,218       63,421  

AMMO, Inc. *

    6,628       13,057  

ArcBest Corp.

    1,250       115,525  

Archer Aviation, Inc. Class A *

    10,867       31,080  

Arcosa, Inc.

    3,706       233,886  

Ardmore Shipping Corp. (Ireland)

    3,228       48,000  

Argan, Inc.

    968       39,175  

Astec Industries, Inc.

    1,711       70,579  

Astra Space, Inc. *

    11,686       4,967  

Astronics Corp. *

    1,919       25,638  

Atlas Technical Consultants, Inc. *

    559       6,814  

Barnes Group, Inc.

    3,746       150,889  

Belden, Inc.

    1,517       131,630  

Benchmark Electronics, Inc.

    2,726       64,579  

Boise Cascade Co.

    2,391       151,231  

Brady Corp. Class A

    806       43,306  

Caesarstone Ltd.

    1,706       7,046  

Centrus Energy Corp. Class A *

    797       25,663  

Chase Corp.

    427       44,720  

CIRCOR International, Inc. *

    987       30,715  

Clearwater Paper Corp. *

    1,328       44,382  

Columbus McKinnon Corp.

    2,175       80,823  

Comtech Telecommunications Corp.

    1,944       24,261  

Concrete Pumping Holdings, Inc. *

    1,934       13,151  

Costamare, Inc. (Monaco)

    3,953       37,198  

Covenant Logistics Group, Inc.

    700       24,794  

CryoPort, Inc. *

    609       14,616  

DHT Holdings, Inc.

    10,492       113,419  

Dorian LPG Ltd.

    2,421       48,275  

Ducommun, Inc. *

    878       48,035  

DXP Enterprises, Inc. *

    1,141       30,716  

Eagle Bulk Shipping, Inc.

    1,060       48,230  

Eastman Kodak Co. *

    4,280       17,548  

Encore Wire Corp.

    1,354       250,937  

EnerSys

    2,765       240,223  

EnPro Industries, Inc.

    1,592       165,393  

ESCO Technologies, Inc.

    1,792       171,046  

ESS Tech, Inc. *

    784       1,090  

Evolv Technologies Holdings, Inc. *

    6,319       19,715  

FARO Technologies, Inc. *

    1,303       32,067  

Fathom Digital Manufacturing C Class A *

    1,317       715  

FLEX LNG Ltd. * (Norway)

    2,238       75,152  

Fluor Corp. *

    926       28,623  

Frontdoor, Inc. *

    6,333       176,564  

Frontline PLC

    9,540       157,982  

GATX Corp.

    2,538       279,231  

Genco Shipping & Trading Ltd.

    2,908       45,539  

Gibraltar Industries, Inc. *

    2,386       115,721  

Golden Ocean Group Ltd. * (Norway)

    9,468       90,135  

GoPro, Inc. Class A *

    10,139       50,999  

Gorman-Rupp Co.

    1,400       35,000  

Granite Construction, Inc.

    3,385       139,056  

Great Lakes Dredge & Dock Corp. *

    3,679       19,977  

Greenbrier Cos., Inc.

    2,476       79,653  

Greif, Inc. Class A

    1,626       103,040  

Greif, Inc. Class B

    354       27,088  

Griffon Corp.

    1,687       54,001  

Harsco Corp. *

    5,885       40,195  

Heartland Express, Inc.

    3,666       58,363  

Heritage-Crystal Clean, Inc. *

    1,176       41,877  

Hillenbrand, Inc.

    2,652       126,050  
   

    

Shares

   

Value

 

Hillman Solutions Corp. *

    10,397       $ 87,543  

Hub Group, Inc. Class A *

    2,469       207,248  

Hydrofarm Holdings Group, Inc. *

    3,295       5,700  

Hyster-Yale Materials Handling, Inc.

    812       40,511  

Ichor Holdings Ltd. *

    2,188       71,635  

IES Holdings, Inc. *

    208       8,963  

International Seaways, Inc.

    3,725       155,258  

Itron, Inc. *

    3,172       175,887  

JELD-WEN Holding, Inc. *

    4,139       52,400  

Joby Aviation, Inc. *

    1,742       7,560  

Kaman Corp.

    2,098       47,960  

Kennametal, Inc.

    6,226       171,713  

Kimball Electronics, Inc. *

    1,801       43,404  

Knowles Corp. *

    6,854       116,518  

Kratos Defense & Security Solutions, Inc. *

    9,454       127,440  

Li-Cycle Holdings Corp. * (Canada)

    6,313       35,542  

Luxfer Holdings PLC (United Kingdom)

    1,223       20,669  

Manitowoc Co., Inc. *

    2,750       46,998  

Marten Transport Ltd.

    1,115       23,359  

Materion Corp.

    95       11,020  

Matson, Inc.

    2,859       170,597  

Mirion Technologies, Inc. *

    10,591       90,447  

Modine Manufacturing Co. *

    3,846       88,650  

Momentus, Inc. *

    4,592       2,686  

Moog, Inc. Class A

    1,824       183,768  

Mueller Industries, Inc.

    2,740       201,335  

National Presto Industries, Inc.

    385       27,755  

NEXTracker, Inc. Class A *

    273       9,899  

NL Industries, Inc.

    913       5,533  

nLight, Inc. *

    3,335       33,950  

Nordic American Tankers Ltd.

    16,035       63,499  

Northwest Pipe Co. *

    583       18,207  

NuScale Power Corp. *

    2,347       21,334  

O-I Glass, Inc. *

    2,294       52,097  

Olympic Steel, Inc.

    721       37,643  

OSI Systems, Inc. *

    1,098       112,391  

Pactiv Evergreen, Inc.

    3,263       26,104  

Park Aerospace Corp.

    1,467       19,731  

Plexus Corp. *

    324       31,613  

Powell Industries, Inc.

    685       29,174  

Primoris Services Corp.

    3,852       94,990  

Proto Labs, Inc. *

    1,785       59,173  

PureCycle Technologies, Inc. *

    1,652       11,564  

Radiant Logistics, Inc. *

    2,121       13,914  

Ranpak Holdings Corp. *

    3,259       17,012  

RBC Bearings, Inc. *

    1,868       434,740  

Redwire Corp. *

    1,829       5,542  

Ryerson Holding Corp.

    1,445       52,569  

Safe Bulkers, Inc. (Greece)

    5,370       19,815  

Sanmina Corp. *

    4,363       266,099  

Scorpio Tankers, Inc. (Monaco)

    3,598       202,603  

SFL Corp. Ltd. (Norway)

    8,575       81,463  

Sight Sciences, Inc. *

    1,485       12,979  

Smith & Wesson Brands, Inc.

    3,169       39,010  

SPX Technologies, Inc. *

    3,350       236,443  

Standex International Corp.

    908       111,176  

Sterling Infrastructure, Inc. *

    345       13,069  

Stoneridge, Inc. *

    1,669       31,210  

Sturm Ruger & Co., Inc.

    119       6,835  

Summit Materials, Inc. Class A *

    9,097       259,174  

Teekay Corp. * (Bermuda)

    5,152       31,839  

Teekay Tankers Ltd. Class A * (Canada)

    1,771       76,029  

Tennant Co.

    810       55,509  

Terex Corp.

    2,592       125,401  

Thermon Group Holdings, Inc. *

    2,585       64,418  

TimkenSteel Corp. *

    3,469       63,621  

Tredegar Corp.

    2,048       18,698  

TriMas Corp.

    3,236       90,155  

Trinity Industries, Inc.

    5,343       130,156  

Triumph Group, Inc. *

    5,026       58,251  

TTM Technologies, Inc. *

    7,790       105,087  

Turtle Beach Corp. *

    409       4,098  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

274

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Tutor Perini Corp. *

    3,157       $19,479  

UFP Industries, Inc.

    586       46,569  

Universal Logistics Holdings, Inc.

    193       5,626  

View, Inc. *

    13,096       6,548  

Vishay Intertechnology, Inc.

    9,936       224,752  

Vishay Precision Group, Inc. *

    988       41,259  

Werner Enterprises, Inc.

    4,256       193,605  

Worthington Industries, Inc.

    2,404       155,419  
   

 

 

 
    11,165,093  
   

 

 

 

Technology - 3.8%

 

3D Systems Corp. *

    9,732       104,327  

ACM Research, Inc. Class A *

    3,108       36,364  

ACV Auctions, Inc. Class A *

    4,699       60,664  

Adeia, Inc.

    8,107       71,828  

Alpha & Omega Semiconductor Ltd. *

    361       9,729  

American Software, Inc. Class A

    614       7,743  

Amkor Technology, Inc.

    6,188       161,012  

Avid Technology, Inc. *

    971       31,053  

AvidXchange Holdings, Inc. *

    1,172       9,142  

AXT, Inc. *

    3,088       12,290  

Bandwidth, Inc. Class A *

    1,400       21,280  

Blackbaud, Inc. *

    182       12,613  

Blend Labs, Inc. Class A *

    14,218       14,164  

Brightcove, Inc. *

    974       4,334  

C3.ai, Inc. Class A *

    3,732       125,283  

Cantaloupe, Inc. *

    1,713       9,764  

Cardlytics, Inc. *

    2,379       8,077  

Cerence, Inc. *

    3,117       87,557  

Cohu, Inc. *

    3,599       138,166  

Computer Programs & Systems, Inc. *

    1,055       31,861  

Conduent, Inc. *

    13,442       46,106  

Consensus Cloud Solutions, Inc. *

    734       25,022  

Corsair Gaming, Inc. *

    1,328       24,369  

Cvent Holding Corp. *

    3,447       28,817  

Daily Journal Corp. *

    92       26,216  

Desktop Metal, Inc. Class A *

    20,089       46,205  

Diebold Nixdorf, Inc. *

    1,182       1,418  

Digi International, Inc. *

    1,799       60,590  

Digimarc Corp. *

    83       1,631  

Diodes, Inc. *

    940       87,194  

Donnelley Financial Solutions, Inc. *

    1,838       75,101  

E2open Parent Holdings, Inc. *

    15,366       89,430  

Ebix, Inc.

    1,554       20,497  

eGain Corp. *

    918       6,968  

EverCommerce, Inc. *

    1,559       16,494  

Faraday Future Intelligent Electric, Inc. *

    17,172       6,081  

Fastly, Inc. Class A *

    8,684       154,228  

ForgeRock, Inc. Class A *

    907       18,684  

Health Catalyst, Inc. *

    4,326       50,484  

Impinj, Inc. *

    148       20,057  

Insight Enterprises, Inc. *

    387       55,326  

Inspired Entertainment, Inc. *

    499       6,382  

Instructure Holdings, Inc. *

    1,112       28,801  

Integral Ad Science Holding Corp. *

    1,930       27,541  

IonQ, Inc. *

    7,817       48,075  

Kaleyra, Inc. * (Italy)

    864       1,426  

Latch, Inc. *

    8,276       6,307  

LiveVox Holdings, Inc. *

    1,773       5,479  

Markforged Holding Corp. *

    7,436       7,130  

Matterport, Inc. *

    4,618       12,607  

Maximus, Inc.

    252       19,832  

MicroStrategy, Inc. Class A *

    306       89,450  

Mitek Systems, Inc. *

    221       2,119  

N-Able, Inc. *

    644       8,501  

NetScout Systems, Inc. *

    5,189       148,665  

NextGen Healthcare, Inc. *

    2,124       36,979  

Olo, Inc. Class A *

    7,063       57,634  

ON24, Inc. *

    3,171       27,778  

OneSpan, Inc. *

    1,918       33,565  

Ouster, Inc. *

    20,993       17,565  
   

Shares

   

Value

 

Outbrain, Inc. *

    2,767       $ 11,428  

PAR Technology Corp. *

    1,317       44,725  

Parsons Corp. *

    2,575       115,205  

Pear Therapeutics, Inc. *

    4,327       1,103  

Photronics, Inc. *

    1,220       20,228  

Phreesia, Inc. *

    2,022       65,290  

Playstudios, Inc. *

    3,005       11,088  

Porch Group, Inc. *

    6,157       8,804  

PowerSchool Holdings, Inc. Class A *

    2,363       46,835  

PROS Holdings, Inc. *

    1,095       30,003  

PubMatic, Inc. Class A *

    301       4,160  

Rackspace Technology, Inc. *

    4,301       8,086  

Rambus, Inc. *

    1,335       68,432  

Rigetti Computing, Inc. Class A *

    9,241       6,685  

Sapiens International Corp. NV (Israel)

    663       14,400  

SecureWorks Corp. Class A *

    761       6,522  

Sharecare, Inc. *

    23,473       33,332  

Skillsoft Corp. *

    6,126       12,252  

Skillz, Inc. *

    23,514       13,948  

SolarWinds Corp. *

    3,614       31,080  

Sumo Logic, Inc. *

    3,290       39,414  

Ultra Clean Holdings, Inc. *

    2,302       76,334  

Unisys Corp. *

    1,262       4,897  

Upland Software, Inc. *

    2,206       9,486  

Veeco Instruments, Inc. *

    879       18,573  

Veradigm, Inc. *

    8,067       105,274  

Verint Systems, Inc. *

    430       16,013  

Vuzix Corp. *

    831       3,440  

WM Technology, Inc. *

    735       624  

Xerox Holdings Corp.

    8,748       134,719  
   

 

 

 
    3,366,385  
   

 

 

 

Utilities - 4.7%

 

ALLETE, Inc.

    4,385       282,263  

Altus Power, Inc. *

    5,027       27,548  

American States Water Co.

    1,479       131,468  

Artesian Resources Corp. Class A

    209       11,570  

Avista Corp.

    5,525       234,536  

Black Hills Corp.

    4,974       313,859  

California Water Service Group

    3,072       178,790  

Chesapeake Utilities Corp.

    572       73,210  

MGE Energy, Inc.

    1,602       124,427  

New Jersey Resources Corp.

    6,777       360,536  

Northwest Natural Holding Co.

    2,653       126,177  

NorthWestern Corp.

    4,439       256,841  

ONE Gas, Inc.

    4,114       325,952  

Ormat Technologies, Inc.

    1,786       151,399  

Otter Tail Corp.

    1,743       125,967  

PNM Resources, Inc.

    6,538       318,270  

Portland General Electric Co.

    6,846       334,701  

SJW Group

    2,067       157,361  

Southwest Gas Holdings, Inc. *

    4,660       291,017  

Spire, Inc.

    3,901       273,616  

Unitil Corp.

    1,192       67,992  

Via Renewables, Inc. *

    39       717  
   

 

 

 
    4,168,217  
   

 

 

 

Total Common Stocks
(Cost $97,371,668)

      84,534,588  
   

 

 

 

EXCHANGE-TRADED FUND - 2.6%

 

iShares Russell 2000 Value

    16,830       2,306,047  
   

 

 

 

Total Exchange-Traded Fund
(Cost $2,395,707)

      2,306,047  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

275

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENT - 1.0%

 

Repurchase Agreement - 1.0%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $865,087; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $882,074)

    $864,767       $864,767  
   

 

 

 

Total Short-Term Investment
(Cost $864,767)

      864,767  
   

 

 

 

TOTAL INVESTMENTS - 99.8%
(Cost $100,632,142)

      87,705,723  
   

 

 

 

DERIVATIVES - 0.0%

      28,793  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.2%

      163,499  
   

 

 

 

NET ASSETS - 100.0%

      $87,898,015  
   

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $312 or less than 0.1% of the Fund’s net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees.

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

276

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(b)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
     Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

Micro Russell 2000 E-Mini Index

     06/23        119        $1,050,240        $1,079,033        $28,793  
              

 

 

 

 

(c)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

           
 

Basic Materials

     $9        $9        $-        $-  
 

Consumer, Non-Cyclical

     312        -        -        312  
 

Total Rights

     321        9        -        312  
 

Common Stocks

           
 

Basic Materials

     2,676,770        2,676,770        -        -  
 

Communications

     3,008,660        3,008,660        -        -  
 

Consumer, Cyclical

     10,646,264        10,646,264        -        -  
 

Consumer, Non-Cyclical

     14,247,796        14,195,283        52,513        -  
 

Energy

     4,640,494        4,640,494        -        -  
 

Financial

     30,614,909        30,614,909        -        -  
 

Industrial

     11,165,093        11,165,093        -        -  
 

Technology

     3,366,385        3,366,385        -        -  
 

Utilities

     4,168,217        4,168,217        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     84,534,588        84,482,075        52,513        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Fund

     2,306,047        2,306,047        -        -  
 

Short-Term Investment

     864,767        -        864,767        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     28,793        28,793        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $87,734,516        $86,816,924        $917,280        $312  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

277

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

RIGHTS - 0.0%

 

Brazil - 0.0%

 

Localiza Rent a Car SA Exp 05/11/23 *

    71       $184  
   

 

 

 

Total Rights
(Cost $0)

      184  
   

 

 

 

WARRANTS - 0.0%

 

Thailand - 0.0%

 

Minor International PCL Exercise @ THB 31.00 Exp 02/15/24 *

    3,344       353  
   

 

 

 

Total Warrants
(Cost $0)

      353  
   

 

 

 

PREFERRED STOCKS - 2.0%

 

Brazil - 1.2%

 

Banco Bradesco SA

    114,990       298,793  

Centrais Eletricas Brasileiras SA Class B

    5,500       39,369  

Cia Energetica de Minas Gerais

    29,945       67,589  

Gerdau SA

    24,885       124,169  

Itau Unibanco Holding SA

    104,400       509,595  

Itausa SA

    109,873       178,192  

Petroleo Brasileiro SA

    102,600       474,695  
   

 

 

 
    1,692,402  
   

 

 

 

Chile - 0.2%

 

Sociedad Quimica y Minera de Chile SA Class B

    3,076       247,166  
   

 

 

 

Colombia - 0.0%

 

Bancolombia SA

    9,736       61,004  
   

 

 

 

Russia - 0.0%

 

Surgutneftegas PJSC * W ±

    44,600       -  
   

 

 

 

South Korea - 0.6%

 

Hyundai Motor Co.

    806       59,537  

Hyundai Motor Co.

    448       32,569  

LG Chem Ltd.

    165       39,535  

Samsung Electronics Co. Ltd.

    17,725       737,619  
   

 

 

 
    869,260  
   

 

 

 

Total Preferred Stocks
(Cost $3,263,839)

      2,869,832  
   

 

 

 

COMMON STOCKS - 95.3%

 

Australia - 0.2%

 

AngloGold Ashanti Ltd.

    9,015       219,559  
   

 

 

 

Brazil - 3.5%

 

Ambev SA

    101,800       287,819  

Atacadao SA

    13,600       33,246  

B3 SA - Brasil Bolsa Balcao

    131,300       268,120  

Banco Bradesco SA

    34,400       80,427  

Banco BTG Pactual SA

    25,400       98,474  

Banco do Brasil SA

    18,500       142,753  

Banco Santander Brasil SA

    8,100       42,830  
   

Shares

   

Value

 

BB Seguridade Participacoes SA

    15,100       $96,854  

CCR SA

    26,100       65,914  

Centrais Eletricas Brasileiras SA

    26,100       171,375  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    7,400       73,891  

Cia Siderurgica Nacional SA

    14,300       43,562  

Cosan SA

    26,200       78,004  

CPFL Energia SA

    5,000       31,223  

Energisa SA

    4,300       34,088  

Eneva SA *

    18,700       38,629  

Engie Brasil Energia SA

    4,400       34,872  

Equatorial Energia SA

    21,900       116,490  

Hapvida Participacoes e Investimentos SA * ~

    100,043       51,715  

Hypera SA

    8,900       66,200  

Inter & Co., Inc. BDR *

    55       95  

Klabin SA

    16,800       59,962  

Localiza Rent a Car SA

    16,058       169,183  

Lojas Renner SA

    21,391       69,932  

Magazine Luiza SA *

    65,400       42,710  

Natura & Co. Holding SA

    19,400       50,524  

Petro Rio SA *

    15,200       93,537  

Petroleo Brasileiro SA

    80,100       418,639  

Raia Drogasil SA

    23,100       111,433  

Rede D’Or Sao Luiz SA ~

    12,440       52,131  

Rumo SA

    28,000       104,134  

Sendas Distribuidora SA

    26,100       80,023  

Suzano SA

    16,100       132,143  

Telefonica Brasil SA

    10,800       82,378  

TIM SA

    18,300       45,421  

TOTVS SA

    11,300       62,782  

Ultrapar Participacoes SA

    15,600       42,967  

Vale SA

    82,353       1,304,565  

Vibra Energia SA

    25,126       71,435  

WEG SA

    36,200       289,617  
   

 

 

 
    5,140,097  
   

 

 

 

Chile - 0.4%

 

Banco de Chile

    979,329       95,113  

Banco de Credito e Inversiones SA

    1,273       37,316  

Banco Santander Chile

    1,420,823       63,007  

Cencosud SA

    30,174       58,306  

Cia Cervecerias Unidas SA

    2,785       21,420  

Cia Sud Americana de Vapores SA

    331,541       33,042  

Empresas CMPC SA

    24,220       40,476  

Empresas COPEC SA

    8,399       59,277  

Enel Americas SA

    462,127       60,870  

Enel Chile SA

    595,896       32,505  

Falabella SA

    16,179       37,207  
   

 

 

 
    538,539  
   

 

 

 

China - 31.6%

 

360 DigiTech, Inc. ADR

    2,568       49,819  

360 Security Technology, Inc. Class A

    9,200       23,414  

37 Interactive Entertainment Network Technology Group Co. Ltd. Class A

    2,900       12,000  

3SBio, Inc. ~

    31,500       31,350  

AAC Technologies Holdings, Inc. *

    15,500       38,337  

Advanced Micro-Fabrication Equipment, Inc. China Class A *

    795       17,127  

AECC Aero-Engine Control Co. Ltd. Class A

    1,700       6,030  

AECC Aviation Power Co. Ltd. Class A

    3,400       21,397  

Agricultural Bank of China Ltd. Class A

    98,500       44,601  

Agricultural Bank of China Ltd. Class H

    644,000       238,490  

Aier Eye Hospital Group Co. Ltd. Class A

    9,251       41,812  

Air China Ltd. Class A *

    8,500       13,251  

Air China Ltd. Class H *

    42,000       37,563  

Airtac International Group

    3,232       126,402  

Akeso, Inc. * ~

    10,000       51,632  

Alibaba Group Holding Ltd. *

    319,320       4,044,343  

Alibaba Health Information Technology Ltd. *

    102,000       73,564  

Aluminum Corp. of China Ltd. Class A

    13,800       11,088  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

278

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Aluminum Corp. of China Ltd. Class H

    90,000       $45,586  

Amlogic Shanghai Co. Ltd. Class A *

    381       4,660  

Angel Yeast Co. Ltd. Class A

    1,200       7,288  

Anhui Conch Cement Co. Ltd. Class A

    4,500       18,491  

Anhui Conch Cement Co. Ltd. Class H

    27,500       95,307  

Anhui Gujing Distillery Co. Ltd. Class A

    500       21,501  

Anhui Gujing Distillery Co. Ltd. Class B

    2,300       41,070  

Anhui Honglu Steel Construction Group Co. Ltd. Class A

    780       3,757  

Anhui Kouzi Distillery Co. Ltd. Class A

    800       8,198  

Anhui Yingjia Distillery Co. Ltd. Class A

    900       8,718  

Anjoy Foods Group Co. Ltd. Class A

    400       9,539  

ANTA Sports Products Ltd.

    26,400       383,304  

Apeloa Pharmaceutical Co. Ltd. Class A

    1,300       4,027  

Asia - Potash International Investment Guangzhou Co. Ltd. Class A *

    1,200       4,775  

Asymchem Laboratories Tianjin Co. Ltd. Class A

    480       9,313  

Autobio Diagnostics Co. Ltd. Class A

    800       7,100  

Autohome, Inc. ADR

    1,622       54,288  

Avary Holding Shenzhen Co. Ltd. Class A

    2,500       11,305  

AVIC Industry-Finance Holdings Co. Ltd. Class A

    11,600       6,921  

AviChina Industry & Technology Co. Ltd. Class H

    53,000       27,849  

Avicopter PLC Class A

    800       4,928  

Baidu, Inc. Class A *

    47,484       894,659  

Bank of Beijing Co. Ltd. Class A

    27,400       17,558  

Bank of Changsha Co. Ltd. Class A

    5,300       6,112  

Bank of Chengdu Co. Ltd. Class A

    4,700       9,277  

Bank of China Ltd. Class A

    106,300       52,274  

Bank of China Ltd. Class H

    1,625,000       622,971  

Bank of Communications Co. Ltd. Class A

    62,500       46,492  

Bank of Communications Co. Ltd. Class H

    173,000       108,800  

Bank of Hangzhou Co. Ltd. Class A

    7,600       12,843  

Bank of Jiangsu Co. Ltd. Class A

    19,080       19,516  

Bank of Nanjing Co. Ltd. Class A

    13,400       17,475  

Bank of Ningbo Co. Ltd. Class A

    8,510       33,803  

Bank of Shanghai Co. Ltd. Class A

    18,400       16,047  

Bank of Suzhou Co. Ltd. Class A

    4,700       4,764  

Baoshan Iron & Steel Co. Ltd. Class A

    28,800       26,151  

BBMG Corp. Class A

    10,000       3,566  

BeiGene Ltd. *

    13,289       221,192  

Beijing Capital International Airport Co. Ltd. Class H *

    40,000       29,460  

Beijing Dabeinong Technology Group Co. Ltd. Class A *

    5,800       6,594  

Beijing Easpring Material Technology Co. Ltd. Class A

    600       5,038  

Beijing Enlight Media Co. Ltd. Class A

    3,100       4,014  

Beijing Enterprises Holdings Ltd.

    11,000       39,595  

Beijing Enterprises Water Group Ltd.

    86,000       21,490  

Beijing Kingsoft Office Software, Inc. Class A

    428       29,469  

Beijing New Building Materials PLC Class A

    2,200       8,583  

Beijing Shiji Information Technology Co. Ltd. Class A

    2,268       8,474  

Beijing Tongrentang Co. Ltd. Class A

    1,800       14,452  

Beijing United Information Technology Co. Ltd. Class A

    680       8,212  

Beijing Wantai Biological Pharmacy Enterprise Co. Ltd. Class A

    780       13,184  

Beijing Yanjing Brewery Co. Ltd. Class A

    3,600       7,337  

Beijing Yuanliu Hongyuan Electronic Technology Co. Ltd. Class A

    300       3,366  

Bethel Automotive Safety Systems Co. Ltd. Class A

    600       6,226  

Betta Pharmaceuticals Co. Ltd. Class A

    600       5,140  

BGI Genomics Co. Ltd. Class A

    600       6,027  

Bilibili, Inc. Class Z *

    4,082       96,051  

Bloomage Biotechnology Corp. Ltd. Class A

    618       10,206  

BOC Aviation Ltd. ~

    4,500       34,897  

BOC International China Co. Ltd. Class A

    3,500       5,480  

BOE Technology Group Co. Ltd. Class A

    48,300       31,209  

Bosideng International Holdings Ltd.

    70,000       39,061  

BTG Hotels Group Co. Ltd. Class A

    1,400       4,759  

By-health Co. Ltd. Class A

    2,300       7,134  
   

Shares

   

Value

 

BYD Co. Ltd. Class A

    2,300       $85,688  

BYD Co. Ltd. Class H

    18,000       529,491  

BYD Electronic International Co. Ltd.

    14,500       45,126  

C&D International Investment Group Ltd.

    14,000       45,979  

Caitong Securities Co. Ltd. Class A

    5,950       6,509  

Canmax Technologies Co. Ltd. Class A

    800       5,974  

CECEP Solar Energy Co. Ltd. Class A

    5,100       5,084  

CECEP Wind-Power Corp. Class A

    7,120       4,013  

CETC Cyberspace Security Technology Co. Ltd. Class A

    1,200       6,806  

CGN Power Co. Ltd. Class H ~

    228,000       54,586  

Changchun High & New Technology Industry Group, Inc. Class A

    500       11,891  

Changjiang Securities Co. Ltd. Class A

    7,800       6,325  

Changzhou Xingyu Automotive Lighting Systems Co. Ltd. Class A

    375       6,560  

Chaozhou Three-Circle Group Co. Ltd. Class A

    2,500       10,958  

Chengtun Mining Group Co. Ltd. Class A

    4,700       3,915  

Chengxin Lithium Group Co. Ltd. Class A

    1,200       6,028  

China Baoan Group Co. Ltd. Class A

    2,900       4,802  

China Cinda Asset Management Co. Ltd. Class H

    190,000       24,014  

China CITIC Bank Corp. Ltd. Class H

    192,000       96,588  

China Coal Energy Co. Ltd. Class H

    44,000       33,391  

China Common Rich Renewable Energy Investments Ltd. * W ±

    122,000       -  

China Communications Services Corp. Ltd. Class H

    52,000       25,587  

China Conch Venture Holdings Ltd.

    35,000       61,293  

China Construction Bank Corp. Class A

    12,800       11,066  

China Construction Bank Corp. Class H

    2,071,000       1,340,341  

China CSSC Holdings Ltd. Class A

    5,800       19,797  

China Eastern Airlines Corp. Ltd. Class A *

    14,700       11,018  

China Energy Engineering Corp. Ltd.

    41,700       14,631  

China Everbright Bank Co. Ltd. Class A

    58,000       25,406  

China Everbright Bank Co. Ltd. Class H

    61,000       18,505  

China Everbright Environment Group Ltd.

    79,000       33,884  

China Feihe Ltd. ~

    78,000       58,458  

China Galaxy Securities Co. Ltd. Class A

    4,400       6,437  

China Galaxy Securities Co. Ltd. Class H

    79,500       40,026  

China Gas Holdings Ltd.

    64,400       90,671  

China Great Wall Securities Co. Ltd. Class A

    4,300       5,191  

China Greatwall Technology Group Co. Ltd. Class A

    4,200       7,568  

China Hongqiao Group Ltd.

    50,500       48,530  

China International Capital Corp. Ltd. Class A

    1,500       8,495  

China International Capital Corp. Ltd. Class H ~

    32,800       65,808  

China Jinmao Holdings Group Ltd.

    129,624       25,235  

China Jushi Co. Ltd. Class A

    5,101       10,848  

China Lesso Group Holdings Ltd.

    23,000       20,551  

China Life Insurance Co. Ltd. Class A

    2,900       14,056  

China Life Insurance Co. Ltd. Class H

    163,000       267,494  

China Literature Ltd. * ~

    8,800       45,444  

China Longyuan Power Group Corp. Ltd. Class H

    72,000       82,139  

China Medical System Holdings Ltd.

    29,000       45,755  

China Meheco Co. Ltd. Class A

    2,100       4,204  

China Meidong Auto Holdings Ltd.

    14,000       30,196  

China Mengniu Dairy Co. Ltd. *

    68,000       278,762  

China Merchants Bank Co. Ltd. Class A

    25,600       127,492  

China Merchants Bank Co. Ltd. Class H

    85,000       431,631  

China Merchants Energy Shipping Co. Ltd. Class A

    10,500       10,716  

China Merchants Port Holdings Co. Ltd.

    31,192       47,886  

China Merchants Securities Co. Ltd. Class A

    9,500       19,067  

China Merchants Shekou Industrial Zone Holdings Co. Ltd. Class A

    10,000       19,765  

China Minsheng Banking Corp. Ltd. Class A

    80,700       40,543  

China Minsheng Banking Corp. Ltd. Class H

    87,500       29,982  

China National Building Material Co. Ltd. Class H

    84,000       69,042  

China National Chemical Engineering Co. Ltd. Class A

    7,900       10,669  

China National Nuclear Power Co. Ltd. Class A

    24,300       22,621  

China National Software & Service Co. Ltd. Class A

    900       9,031  

China Northern Rare Earth Group High-Tech Co. Ltd. Class A

    4,700       17,858  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

279

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

China Oilfield Services Ltd. Class H

    40,000       $41,120  

China Overseas Land & Investment Ltd.

    82,500       199,029  

China Overseas Property Holdings Ltd.

    30,000       36,600  

China Pacific Insurance Group Co. Ltd. Class A

    8,000       30,187  

China Pacific Insurance Group Co. Ltd. Class H

    58,000       153,763  

China Petroleum & Chemical Corp. Class A

    36,200       29,587  

China Petroleum & Chemical Corp. Class H

    556,000       328,107  

China Power International Development Ltd.

    106,108       42,253  

China Railway Group Ltd. Class A

    24,600       24,620  

China Railway Group Ltd. Class H

    94,000       57,362  

China Railway Signal & Communication Corp. Ltd. Class A

    9,535       7,526  

China Rare Earth Resources & Technology Co. Ltd. Class A *

    1,400       6,881  

China Resources Beer Holdings Co. Ltd.

    34,000       273,136  

China Resources Cement Holdings Ltd.

    52,000       25,535  

China Resources Gas Group Ltd.

    19,900       73,200  

China Resources Land Ltd.

    70,000       318,768  

China Resources Microelectronics Ltd. Class A

    1,414       12,465  

China Resources Mixc Lifestyle Services Ltd. ~

    14,800       77,815  

China Resources Pharmaceutical Group Ltd. ~

    34,000       26,902  

China Resources Power Holdings Co. Ltd.

    42,000       89,611  

China Resources Sanjiu Medical & Pharmaceutical Co. Ltd. Class A

    1,300       10,868  

China Ruyi Holdings Ltd. *

    120,000       31,383  

China Shenhua Energy Co. Ltd. Class A

    7,500       30,730  

China Shenhua Energy Co. Ltd. Class H

    74,000       232,872  

China Southern Airlines Co. Ltd. Class A *

    12,700       14,548  

China Southern Airlines Co. Ltd. Class H *

    42,000       29,965  

China State Construction Engineering Corp. Ltd. Class A

    54,100       45,614  

China State Construction International Holdings Ltd.

    44,000       49,778  

China Taiping Insurance Holdings Co. Ltd.

    31,000       32,962  

China Three Gorges Renewables Group Co. Ltd. Class A

    36,800       29,368  

China Tourism Group Duty Free Corp. Ltd. Class A

    2,444       65,265  

China Tourism Group Duty Free Corp. Ltd. Class H * ~

    1,600       39,490  

China Tower Corp. Ltd. Class H ~

    954,000       115,463  

China Traditional Chinese Medicine Holdings Co. Ltd.

    60,000       31,435  

China United Network Communications Ltd. Class A

    41,100       32,426  

China Vanke Co. Ltd. Class A

    12,600       27,842  

China Vanke Co. Ltd. Class H

    45,000       71,008  

China Yangtze Power Co. Ltd. Class A

    29,400       90,865  

China Zhenhua Group Science & Technology Co. Ltd. Class A

    700       9,183  

China Zheshang Bank Co. Ltd. Class A *

    21,600       8,996  

Chinasoft International Ltd. *

    58,000       36,744  

Chongqing Brewery Co. Ltd. Class A

    600       10,924  

Chongqing Changan Automobile Co. Ltd. Class A

    10,696       18,604  

Chongqing Fuling Zhacai Group Co. Ltd. Class A

    1,000       3,686  

Chongqing Rural Commercial Bank Co. Ltd. Class A

    12,900       6,892  

Chongqing Zhifei Biological Products Co. Ltd. Class A

    2,100       25,093  

Chow Tai Fook Jewellery Group Ltd. *

    43,000       85,445  

CITIC Ltd.

    125,000       146,101  

CITIC Securities Co. Ltd. Class A

    14,480       43,216  

CITIC Securities Co. Ltd. Class H

    47,075       100,693  

CMOC Group Ltd. Class A

    19,000       16,546  

CMOC Group Ltd. Class H

    81,000       49,032  

CNGR Advanced Material Co. Ltd. Class A

    700       7,303  

CNNC Hua Yuan Titanium Dioxide Co. Ltd. Class A

    4,965       4,691  

Contemporary Amperex Technology Co. Ltd. Class A

    3,200       189,413  

COSCO SHIPPING Development Co. Ltd. Class A

    10,700       3,850  

COSCO SHIPPING Energy Transportation Co. Ltd. Class A *

    4,500       8,867  

COSCO SHIPPING Holdings Co. Ltd. Class A

    15,110       24,290  

COSCO SHIPPING Holdings Co. Ltd. Class H

    70,900       79,931  
   

Shares

   

Value

 

COSCO SHIPPING Ports Ltd.

    40,000       $26,747  

Country Garden Holdings Co. Ltd.

    267,707       75,169  

Country Garden Services Holdings Co. Ltd.

    47,000       81,032  

CRRC Corp. Ltd. Class A

    28,200       25,135  

CRRC Corp. Ltd. Class H

    100,000       54,584  

CSC Financial Co. Ltd. Class A

    5,600       20,917  

CSPC Pharmaceutical Group Ltd.

    192,000       188,221  

Daan Gene Co. Ltd. Class A

    1,760       4,126  

Dajin Heavy Industry Co. Ltd. Class A

    800       4,098  

Dali Foods Group Co. Ltd. ~

    44,500       18,554  

Daqin Railway Co. Ltd. Class A

    19,200       20,109  

Daqo New Energy Corp. ADR *

    1,292       60,517  

DaShenLin Pharmaceutical Group Co. Ltd. Class A

    1,240       6,725  

Datang International Power Generation Co. Ltd. Class A *

    10,700       4,725  

DHC Software Co. Ltd. Class A

    3,700       4,479  

Do-Fluoride Chemicals Co. Ltd. Class A

    1,100       5,319  

Dong-E-E-Jiao Co. Ltd. Class A

    900       6,945  

Dongfang Electric Corp. Ltd. Class A

    3,600       9,939  

Dongfeng Motor Group Co. Ltd. Class H

    62,000       29,125  

Dongxing Securities Co. Ltd. Class A

    3,500       4,278  

Dongyue Group Ltd.

    32,000       33,075  

East Buy Holding Ltd. * ~

    8,500       36,384  

East Money Information Co. Ltd. Class A

    17,064       49,772  

Ecovacs Robotics Co. Ltd. Class A

    700       8,399  

ENN Energy Holdings Ltd.

    17,000       232,780  

ENN Natural Gas Co. Ltd. Class A

    3,300       10,011  

Eve Energy Co. Ltd. Class A

    2,600       26,405  

Everbright Securities Co. Ltd. Class A

    5,000       11,078  

Fangda Carbon New Material Co. Ltd. Class A *

    4,300       4,033  

Far East Horizon Ltd.

    33,000       29,634  

FAW Jiefang Group Co. Ltd.

    3,600       4,353  

First Capital Securities Co. Ltd. Class A

    6,000       5,214  

Flat Glass Group Co. Ltd. Class A

    2,100       10,491  

Flat Glass Group Co. Ltd. Class H

    9,000       25,742  

Focus Media Information Technology Co. Ltd. Class A

    18,600       18,579  

Foshan Haitian Flavouring & Food Co. Ltd. Class A

    5,024       55,952  

Fosun International Ltd.

    53,000       38,837  

Foxconn Industrial Internet Co. Ltd. Class A

    9,200       23,015  

Fujian Sunner Development Co. Ltd. Class A

    1,648       5,911  

Fuyao Glass Industry Group Co. Ltd. Class A

    1,900       9,614  

Fuyao Glass Industry Group Co. Ltd. Class H ~

    14,000       61,044  

G-bits Network Technology Xiamen Co. Ltd. Class A

    100       6,930  

Ganfeng Lithium Group Co. Ltd. Class A

    3,360       32,551  

Ganfeng Lithium Group Co. Ltd. Class H ~

    5,560       34,646  

Gaona Aero Material Co. Ltd. Class A

    600       3,293  

GCL Technology Holdings Ltd. *

    438,000       113,365  

GD Power Development Co. Ltd. Class A *

    23,000       12,735  

GDS Holdings Ltd. Class A *

    18,792       44,144  

Geely Automobile Holdings Ltd.

    130,000       167,521  

GEM Co. Ltd. Class A

    6,600       7,184  

Gemdale Corp. Class A

    6,100       7,432  

Genscript Biotech Corp. *

    26,000       55,623  

GF Securities Co. Ltd. Class A

    5,700       13,085  

GF Securities Co. Ltd. Class H

    26,800       37,906  

GigaDevice Semiconductor, Inc. Class A

    880       15,671  

Ginlong Technologies Co. Ltd. Class A *

    550       10,706  

GoerTek, Inc. Class A

    4,400       13,731  

Gotion High-tech Co. Ltd. Class A

    2,300       9,986  

Great Wall Motor Co. Ltd. Class A

    5,100       20,795  

Great Wall Motor Co. Ltd. Class H

    56,500       69,910  

Gree Electric Appliances, Inc. of Zhuhai Class A

    3,600       19,217  

Greentown China Holdings Ltd.

    19,000       24,591  

Greentown Service Group Co. Ltd.

    32,000       20,187  

GRG Banking Equipment Co. Ltd. Class A

    3,500       6,244  

Guangdong Haid Group Co. Ltd. Class A

    2,200       18,688  

Guangdong HEC Technology Holding Co. Ltd. Class A

    3,900       5,082  

Guangdong Investment Ltd.

    64,000       65,470  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

280

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PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Guangdong Kinlong Hardware Products Co. Ltd. Class A

    400       $4,672  

Guanghui Energy Co. Ltd. Class A

    8,500       11,444  

Guangzhou Automobile Group Co. Ltd. Class A

    4,100       6,659  

Guangzhou Automobile Group Co. Ltd. Class H

    70,000       44,233  

Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. Class A

    1,800       8,669  

Guangzhou Great Power Energy & Technology Co. Ltd. Class A

    600       4,973  

Guangzhou Haige Communications Group, Inc. Co. Class A

    2,600       3,977  

Guangzhou Kingmed Diagnostics Group Co. Ltd. Class A

    600       7,696  

Guangzhou Shiyuan Electronic Technology Co. Ltd. Class A

    900       9,805  

Guangzhou Tinci Materials Technology Co. Ltd. Class A

    2,460       15,043  

Guangzhou Yuexiu Capital Holdings Group Co. Ltd. Class A

    5,515       5,288  

Guolian Securities Co. Ltd. Class A

    3,500       5,402  

Guosen Securities Co. Ltd. Class A

    8,200       11,193  

Guotai Junan Securities Co. Ltd. Class A

    9,600       20,089  

Guoyuan Securities Co. Ltd. Class A

    6,200       6,106  

H World Group Ltd. ADR *

    4,159       203,708  

Haidilao International Holding Ltd. * ~

    24,000       65,045  

Haier Smart Home Co. Ltd. Class A

    6,700       22,096  

Haier Smart Home Co. Ltd. Class H

    51,000       159,695  

Haitian International Holdings Ltd.

    14,000       36,291  

Haitong Securities Co. Ltd. Class A

    9,400       12,070  

Haitong Securities Co. Ltd. Class H

    69,200       43,196  

Hangzhou Binjiang Real Estate Group Co. Ltd. Class A

    4,000       5,302  

Hangzhou Chang Chuan Technology Co. Ltd. Class A

    800       5,634  

Hangzhou First Applied Material Co. Ltd. Class A

    1,728       14,773  

Hangzhou Lion Electronics Co. Ltd. Class A

    900       7,150  

Hangzhou Oxygen Plant Group Co. Ltd. Class A

    1,300       6,303  

Hangzhou Robam Appliances Co. Ltd. Class A

    1,100       4,543  

Hangzhou Silan Microelectronics Co. Ltd. Class A

    1,800       9,710  

Hangzhou Tigermed Consulting Co. Ltd. Class A

    700       9,754  

Hangzhou Tigermed Consulting Co. Ltd. Class H ~

    2,300       21,670  

Hansoh Pharmaceutical Group Co. Ltd. ~

    26,000       45,071  

Heilongjiang Agriculture Co. Ltd. Class A

    2,600       5,089  

Henan Shenhuo Coal & Power Co. Ltd. Class A

    2,900       7,462  

Henan Shuanghui Investment & Development Co. Ltd. Class A

    4,470       16,868  

Hengan International Group Co. Ltd.

    14,000       64,849  

Hengdian Group DMEGC Magnetics Co. Ltd. Class A

    2,100       6,280  

Hengli Petrochemical Co. Ltd. Class A

    7,600       17,932  

Hengtong Optic-electric Co. Ltd. Class A

    3,100       6,816  

Hengyi Petrochemical Co. Ltd. Class A

    4,700       5,554  

Hesteel Co. Ltd. Class A

    12,225       4,146  

Hithink RoyalFlush Information Network Co. Ltd. Class A

    700       20,850  

Hongfa Technology Co. Ltd. Class A

    720       3,418  

Hoshine Silicon Industry Co. Ltd. Class A

    1,000       12,094  

Hua Hong Semiconductor Ltd. * ~

    13,000       57,641  

Huadian Power International Corp. Ltd. Class A

    10,500       8,855  

Huadong Medicine Co. Ltd. Class A

    2,300       15,510  

Huafon Chemical Co. Ltd. Class A

    6,700       7,281  

Huaibei Mining Holdings Co. Ltd. Class A

    3,200       6,312  

Hualan Biological Engineering, Inc. Class A

    2,500       7,963  

Huaneng Power International, Inc. Class A *

    10,800       13,472  

Huaneng Power International, Inc. Class H *

    90,000       47,279  

Huatai Securities Co. Ltd. Class A

    8,300       15,441  

Huatai Securities Co. Ltd. Class H ~

    35,600       40,639  

Huaxi Securities Co. Ltd. Class A

    3,600       4,311  

Huaxia Bank Co. Ltd. Class A

    17,200       13,480  

Huaxin Cement Co. Ltd. Class A

    1,900       4,299  

Huayu Automotive Systems Co. Ltd. Class A

    4,100       9,985  

Hubei Feilihua Quartz Glass Co. Ltd. Class A

    700       4,478  
   

Shares

   

Value

 

Hubei Jumpcan Pharmaceutical Co. Ltd. Class A

    1,200       $4,982  

Hubei Xingfa Chemicals Group Co. Ltd. Class A

    1,500       6,657  

Huizhou Desay Sv Automotive Co. Ltd. Class A

    700       11,299  

Humanwell Healthcare Group Co. Ltd. Class A

    2,200       8,570  

Hunan Changyuan Lico Co. Ltd. Class A

    2,469       5,402  

Hunan Valin Steel Co. Ltd. Class A

    9,200       7,459  

Hundsun Technologies, Inc. Class A

    2,476       19,188  

Hygeia Healthcare Holdings Co. Ltd. * ~

    7,400       52,766  

Iflytek Co. Ltd. Class A

    3,000       27,798  

Imeik Technology Development Co. Ltd. Class A

    300       24,405  

Industrial & Commercial Bank of China Ltd. Class A

    72,800       47,269  

Industrial & Commercial Bank of China Ltd. Class H

    1,226,000       651,544  

Industrial Bank Co. Ltd. Class A

    26,861       66,119  

Industrial Securities Co. Ltd. Class A

    10,960       9,765  

Ingenic Semiconductor Co. Ltd. Class A

    600       7,786  

Inner Mongolia BaoTou Steel Union Co. Ltd. Class A

    59,000       16,242  

Inner Mongolia Dian Tou Energy Corp. Ltd. Class A

    2,500       4,891  

Inner Mongolia ERDOS Resources Co. Ltd. Class A

    1,680       3,754  

Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. Class A

    11,600       7,629  

Inner Mongolia Yili Industrial Group Co. Ltd. Class A

    8,300       35,110  

Inner Mongolia Yitai Coal Co. Ltd. Class B

    22,900       33,658  

Inner Mongolia Yuan Xing Energy Co. Ltd. Class A

    5,100       6,404  

Innovent Biologics, Inc. * ~

    23,000       103,167  

Inspur Electronic Information Industry Co. Ltd. Class A

    1,900       9,730  

iQIYI, Inc. ADR *

    9,370       68,214  

JA Solar Technology Co. Ltd. Class A

    3,040       25,309  

Jafron Biomedical Co. Ltd. Class A

    900       3,975  

Jason Furniture Hangzhou Co. Ltd. Class A

    1,110       6,553  

JCET Group Co. Ltd. Class A

    2,300       10,883  

JD Health International, Inc. * ~

    23,950       177,588  

JD.com, Inc. Class A

    46,575       1,017,021  

Jiangsu Eastern Shenghong Co. Ltd. Class A

    5,300       10,492  

Jiangsu Expressway Co. Ltd. Class H

    26,000       24,179  

Jiangsu Hengli Hydraulic Co. Ltd. Class A

    1,700       16,388  

Jiangsu Hengrui Pharmaceuticals Co. Ltd. Class A

    8,200       51,088  

Jiangsu King’s Luck Brewery JSC Ltd. Class A

    1,600       15,097  

Jiangsu Pacific Quartz Co. Ltd. Class A

    500       8,986  

Jiangsu Yanghe Brewery Joint-Stock Co. Ltd. Class A

    1,900       45,608  

Jiangsu Yangnong Chemical Co. Ltd. Class A

    400       5,655  

Jiangsu Yoke Technology Co. Ltd. Class A

    600       4,554  

Jiangsu Yuyue Medical Equipment & Supply Co. Ltd. Class A

    1,200       5,556  

Jiangsu Zhongtian Technology Co. Ltd. Class A

    4,400       10,955  

Jiangxi Copper Co. Ltd. Class A

    800       2,303  

Jiangxi Copper Co. Ltd. Class H

    27,000       45,711  

Jiangxi Special Electric Motor Co. Ltd. Class A *

    2,200       4,935  

JiuGui Liquor Co. Ltd. Class A

    400       7,517  

Jiumaojiu International Holdings Ltd. ~

    16,000       38,037  

Jizhong Energy Resources Co. Ltd. Class A

    4,700       4,677  

Joincare Pharmaceutical Group Industry Co. Ltd. Class A

    2,700       5,179  

Joinn Laboratories China Co. Ltd. Class A

    620       4,725  

Jointown Pharmaceutical Group Co. Ltd. Class A

    2,500       5,435  

Jonjee Hi-Tech Industrial And Commercial Holding Co. Ltd. Class A

    1,100       5,947  

JOYY, Inc. ADR

    1,007       31,398  

Juewei Food Co. Ltd. Class A

    700       4,471  

Juneyao Airlines Co. Ltd. Class A *

    2,400       6,289  

Kanzhun Ltd. ADR *

    3,925       74,693  

KE Holdings, Inc. ADR *

    14,354       270,429  

Keda Industrial Group Co. Ltd.

    2,500       5,259  

Kingboard Holdings Ltd.

    14,500       44,585  

Kingdee International Software Group Co. Ltd. *

    56,000       90,461  

Kingsoft Corp. Ltd.

    20,600       101,268  

Kuaishou Technology * ~

    38,100       292,963  

Kuang-Chi Technologies Co. Ltd. Class A

    3,000       7,247  

Kunlun Energy Co. Ltd.

    84,000       65,581  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

281

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March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Kweichow Moutai Co. Ltd. Class A

    1,600       $422,655  

LB Group Co. Ltd. Class A

    3,100       9,124  

Lenovo Group Ltd.

    156,000       169,013  

Lens Technology Co. Ltd. Class A

    6,400       12,583  

Lepu Medical Technology Beijing Co. Ltd. Class A

    2,300       7,755  

Li Auto, Inc. Class A *

    24,246       303,222  

Li Ning Co. Ltd.

    51,000       401,059  

Liaoning Port Co. Ltd. Class A

    24,200       5,638  

Lingyi iTech Guangdong Co. Class A *

    9,600       8,653  

Livzon Pharmaceutical Group, Inc. Class A

    700       3,806  

Longfor Group Holdings Ltd. ~

    40,500       114,225  

LONGi Green Energy Technology Co. Ltd. Class A

    9,802       57,678  

Lufax Holding Ltd. ADR

    14,765       30,121  

Luoyang Xinqianglian Slewing Bearing Co. Ltd. Class A

    340       2,253  

Luxi Chemical Group Co. Ltd. Class A

    2,600       5,162  

Luxshare Precision Industry Co. Ltd. Class A

    9,200       40,640  

Luzhou Laojiao Co. Ltd. Class A

    1,900       70,168  

Mango Excellent Media Co. Ltd. Class A

    2,400       13,012  

Maxscend Microelectronics Co. Ltd. Class A

    680       12,330  

Meihua Holdings Group Co. Ltd. Class A

    3,900       5,554  

Meinian Onehealth Healthcare Holdings Co. Ltd. Class A *

    4,300       4,711  

Meituan Class B * ~

    104,890       1,902,937  

Metallurgical Corp. of China Ltd. Class A

    23,000       13,052  

Microport Scientific Corp. *

    13,800       32,502  

Ming Yang Smart Energy Group Ltd. Class A

    2,900       9,516  

MINISO Group Holding Ltd. ADR

    2,046       36,296  

Minth Group Ltd.

    16,000       48,563  

Montage Technology Co. Ltd. Class A

    1,462       14,832  

Muyuan Foods Co. Ltd. Class A

    6,860       48,853  

Nanjing King-Friend Biochemical Pharmaceutical Co. Ltd. Class A

    2,343       5,565  

NARI Technology Co. Ltd. Class A

    8,632       34,034  

NAURA Technology Group Co. Ltd. Class A

    700       27,163  

NavInfo Co. Ltd. Class A

    3,400       6,701  

NetEase, Inc.

    42,405       748,570  

New China Life Insurance Co. Ltd. Class A

    4,900       21,724  

New China Life Insurance Co. Ltd. Class H

    15,000       35,625  

New Hope Liuhe Co. Ltd. Class A *

    5,900       11,362  

New Oriental Education & Technology Group, Inc. *

    32,900       126,256  

Ninestar Corp. Class A

    1,800       11,755  

Ningbo Deye Technology Co. Ltd. Class A

    300       11,293  

Ningbo Joyson Electronic Corp. Class A *

    1,700       3,777  

Ningbo Orient Wires & Cables Co. Ltd. Class A

    900       6,452  

Ningbo Ronbay New Energy Technology Co. Ltd. Class A

    579       5,782  

Ningbo Shanshan Co. Ltd. Class A

    2,900       7,282  

Ningbo Tuopu Group Co. Ltd. Class A

    1,400       13,120  

Ningxia Baofeng Energy Group Co. Ltd. Class A

    9,500       20,416  

NIO, Inc. ADR *

    29,503       310,077  

Nongfu Spring Co. Ltd. Class H ~

    38,000       219,101  

North Industries Group Red Arrow Co. Ltd. Class A

    1,800       5,986  

Offcn Education Technology Co. Ltd. Class A *

    7,900       5,615  

Offshore Oil Engineering Co. Ltd. Class A

    5,200       4,639  

Oppein Home Group, Inc. Class A

    700       12,314  

Orient Securities Co. Ltd. Class A

    9,592       13,683  

Ovctek China, Inc. Class A

    1,120       5,399  

Pangang Group Vanadium Titanium & Resources Co. Ltd. Class A *

    11,100       7,977  

PDD Holdings, Inc. ADR *

    10,893       826,779  

People’s Insurance Co. Group of China Ltd. Class A

    46,500       35,212  

People’s Insurance Co. Group of China Ltd. Class H

    94,000       31,366  

Perfect World Co. Ltd. Class A

    2,497       6,186  

PetroChina Co. Ltd. Class A

    22,900       19,718  

PetroChina Co. Ltd. Class H

    462,000       272,919  

Pharmaron Beijing Co. Ltd. Class A

    1,300       9,271  

Pharmaron Beijing Co. Ltd. Class H ~

    4,200       17,577  

PICC Property & Casualty Co. Ltd. Class H

    148,000       150,976  

Ping An Bank Co. Ltd. Class A

    25,000       45,556  

Ping An Healthcare and Technology Co. Ltd. * ~

    10,800       27,196  
   

Shares

   

Value

 

Ping An Insurance Group Co. of China Ltd. Class A

    13,400       $88,770  

Ping An Insurance Group Co. of China Ltd. Class H

    137,000       886,282  

Pingdingshan Tianan Coal Mining Co. Ltd. Class A

    3,100       4,672  

Poly Developments & Holdings Group Co. Ltd. Class A

    15,400       31,617  

Pop Mart International Group Ltd. ~

    11,800       32,133  

Porton Pharma Solutions Ltd. Class A

    700       3,778  

Postal Savings Bank of China Co. Ltd. Class A

    27,700       18,756  

Postal Savings Bank of China Co. Ltd. Class H ~

    179,000       106,157  

Power Construction Corp. of China Ltd. Class A

    22,200       23,020  

Proya Cosmetics Co. Ltd. Class A

    180       4,766  

Pylon Technologies Co. Ltd. Class A

    226       8,081  

Qinghai Salt Lake Industry Co. Ltd. Class A *

    7,000       22,770  

Raytron Technology Co. Ltd. Class A

    570       4,060  

Risen Energy Co. Ltd. Class A *

    1,500       6,089  

Riyue Heavy Industry Co. Ltd. Class A

    1,200       3,887  

Rongsheng Petrochemical Co. Ltd. Class A

    13,097       28,863  

SAIC Motor Corp. Ltd. Class A

    10,100       21,137  

Sailun Group Co. Ltd. Class A

    4,000       6,303  

Sangfor Technologies, Inc. Class A

    500       10,782  

Sany Heavy Equipment International Holdings Co. Ltd.

    24,000       24,946  

Sany Heavy Industry Co. Ltd. Class A

    11,000       27,334  

Satellite Chemical Co. Ltd. Class A

    4,298       10,000  

SDIC Capital Co. Ltd. Class A

    8,200       8,282  

Sealand Securities Co. Ltd. Class A

    6,700       3,315  

Seazen Holdings Co. Ltd. Class A *

    3,014       7,147  

SF Holding Co. Ltd. Class A

    6,300       50,719  

SG Micro Corp. Class A

    475       10,748  

Shaanxi Coal Industry Co. Ltd. Class A

    12,500       36,997  

Shan Xi Hua Yang Group New Energy Co. Ltd. Class A

    3,100       6,225  

Shandong Buchang Pharmaceuticals Co. Ltd. Class A

    1,200       3,464  

Shandong Gold Mining Co. Ltd. Class A

    3,500       11,220  

Shandong Gold Mining Co. Ltd. Class H ~

    17,750       36,064  

Shandong Hualu Hengsheng Chemical Co. Ltd. Class A

    2,710       13,904  

Shandong Linglong Tyre Co. Ltd. Class A

    2,100       5,979  

Shandong Nanshan Aluminum Co. Ltd. Class A

    15,800       7,797  

Shandong Sun Paper Industry JSC Ltd. Class A

    3,800       6,735  

Shandong Weifang Rainbow Chemical Co. Ltd. Class A

    400       3,986  

Shandong Weigao Group Medical Polymer Co. Ltd. Class H

    53,600       85,648  

Shanghai Aiko Solar Energy Co. Ltd. Class A *

    1,700       8,205  

Shanghai Bairun Investment Holding Group Co. Ltd. Class A

    1,316       7,832  

Shanghai Baosight Software Co. Ltd. Class A

    2,047       17,349  

Shanghai Baosight Software Co. Ltd. Class B

    10,390       34,354  

Shanghai Construction Group Co. Ltd. Class A

    12,800       5,089  

Shanghai Electric Group Co. Ltd. Class A *

    16,300       10,493  

Shanghai Electric Power Co. Ltd. Class A *

    3,600       5,205  

Shanghai Fosun Pharmaceutical Group Co. Ltd. Class A

    4,800       22,659  

Shanghai Fosun Pharmaceutical Group Co. Ltd. Class H

    7,000       19,902  

Shanghai Friendess Electronic Technology Corp. Ltd. Class A

    96       2,561  

Shanghai Fudan Microelectronics Group Co. Ltd. Class A

    729       6,949  

Shanghai Fudan Microelectronics Group Co. Ltd. Class H

    6,000       22,171  

Shanghai International Airport Co. Ltd. Class A *

    1,600       12,981  

Shanghai International Port Group Co. Ltd. Class A

    12,000       9,688  

Shanghai Jinjiang International Hotels Co. Ltd. Class A

    1,200       10,992  

Shanghai Junshi Biosciences Co. Ltd. Class A *

    985       6,876  

Shanghai Lingang Holdings Corp. Ltd. Class A

    3,500       6,472  

Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class B

    23,700       18,321  

Shanghai M&G Stationery, Inc. Class A

    1,200       8,575  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

282

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Shanghai Medicilon, Inc. Class A

    78       $1,773  

Shanghai Pharmaceuticals Holding Co. Ltd. Class A

    2,000       5,929  

Shanghai Pharmaceuticals Holding Co. Ltd. Class H

    19,400       36,229  

Shanghai Pudong Development Bank Co. Ltd. Class A

    37,936       39,703  

Shanghai Putailai New Energy Technology Co. Ltd. Class A

    1,820       13,248  

Shanghai RAAS Blood Products Co. Ltd. Class A

    8,600       8,047  

Shanghai Rural Commercial Bank Co. Ltd. Class A

    12,500       10,483  

Shanghai Yuyuan Tourist Mart Group Co. Ltd. Class A

    5,200       6,150  

Shanxi Coking Coal Energy Group Co. Ltd. Class A

    5,300       8,479  

Shanxi Lu’an Environmental Energy Development Co. Ltd. Class A

    3,900       12,434  

Shanxi Meijin Energy Co. Ltd. Class A

    5,700       7,624  

Shanxi Securities Co. Ltd. Class A

    3,800       3,214  

Shanxi Taigang Stainless Steel Co. Ltd. Class A

    6,200       3,919  

Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A

    1,540       60,897  

Shenghe Resources Holding Co. Ltd. Class A

    2,300       4,741  

Shengyi Technology Co. Ltd. Class A

    3,000       8,070  

Shennan Circuits Co. Ltd. Class A

    700       9,415  

Shenwan Hongyuan Group Co. Ltd. Class A

    28,900       17,551  

Shenzhen Capchem Technology Co. Ltd. Class A

    920       6,553  

Shenzhen Dynanonic Co. Ltd. Class A

    200       5,528  

Shenzhen Energy Group Co. Ltd. Class A

    6,200       5,518  

Shenzhen Inovance Technology Co. Ltd. Class A

    3,450       35,344  

Shenzhen International Holdings Ltd.

    31,118       27,534  

Shenzhen Kangtai Biological Products Co. Ltd. Class A

    1,460       6,725  

Shenzhen Kedali Industry Co. Ltd. Class A

    300       5,664  

Shenzhen Kstar Science & Technology Co. Ltd. Class A

    800       5,445  

Shenzhen Mindray Bio-Medical Electronics Co. Ltd. Class A

    1,600       72,595  

Shenzhen New Industries Biomedical Engineering Co. Ltd. Class A

    1,000       8,902  

Shenzhen Overseas Chinese Town Co. Ltd. Class A

    11,200       7,861  

Shenzhen Salubris Pharmaceuticals Co. Ltd. Class A

    1,500       7,727  

Shenzhen SC New Energy Technology Corp. Class A

    500       8,332  

Shenzhen Senior Technology Material Co. Ltd. Class A

    1,698       4,763  

Shenzhen Sunlord Electronics Co. Ltd. Class A

    1,200       4,569  

Shenzhen Transsion Holdings Co. Ltd. Class A

    1,037       15,283  

Shenzhen YUTO Packaging Technology Co. Ltd. Class A

    1,200       4,867  

Shenzhou International Group Holdings Ltd.

    17,800       186,725  

Shijiazhuang Yiling Pharmaceutical Co. Ltd. Class A

    2,120       8,975  

Sichuan Chuantou Energy Co. Ltd. Class A

    4,800       9,249  

Sichuan Hebang Biotechnology Co. Ltd. Class A

    9,900       4,316  

Sichuan Kelun Pharmaceutical Co. Ltd. Class A

    2,000       8,284  

Sichuan New Energy Power Co. Ltd. *

    2,000       4,643  

Sichuan Road & Bridge Co. Ltd. Class A

    6,700       13,455  

Sichuan Swellfun Co. Ltd. Class A

    582       6,376  

Sichuan Yahua Industrial Group Co. Ltd. Class A

    1,300       4,012  

Sieyuan Electric Co. Ltd. Class A

    1,000       6,655  

Silergy Corp.

    7,000       111,136  

Sinoma Science & Technology Co. Ltd. Class A

    2,300       8,086  

Sinomine Resource Group Co. Ltd. Class A

    620       6,352  

Sinopec Shanghai Petrochemical Co. Ltd. Class A

    10,100       4,966  

Sinopharm Group Co. Ltd. Class H

    28,800       87,027  

Skshu Paint Co. Ltd. Class A *

    520       8,808  

Smoore International Holdings Ltd. ~

    39,000       49,927  

Songcheng Performance Development Co. Ltd. Class A

    3,600       8,540  

SooChow Securities Co. Ltd. Class A

    6,910       6,957  
   

Shares

   

Value

 

Southwest Securities Co. Ltd. Class A

    9,800       $5,554  

StarPower Semiconductor Ltd. Class A

    200       8,004  

Sungrow Power Supply Co. Ltd. Class A

    1,900       29,055  

Sunny Optical Technology Group Co. Ltd.

    15,400       185,826  

Sunwoda Electronic Co. Ltd. Class A

    2,200       6,458  

Suzhou Dongshan Precision Manufacturing Co. Ltd. Class A

    2,200       9,707  

Suzhou Maxwell Technologies Co. Ltd. Class A

    260       11,540  

TAL Education Group ADR *

    9,717       62,286  

Tangshan Jidong Cement Co. Ltd. Class A

    3,300       4,167  

TBEA Co. Ltd. Class A

    5,000       15,794  

TCL Technology Group Corp. Class A

    22,000       14,177  

TCL Zhonghuan Renewable Energy Technology Co. Ltd. Class A

    4,200       29,593  

Tencent Holdings Ltd.

    134,100       6,553,372  

Tencent Music Entertainment Group ADR *

    15,333       126,957  

Thunder Software Technology Co. Ltd. Class A

    600       9,469  

Tianjin 712 Communication & Broadcasting Co. Ltd. Class A

    900       4,054  

Tianma Microelectronics Co. Ltd. Class A

    2,700       4,134  

Tianqi Lithium Corp. Class A *

    1,900       20,917  

Tianshan Aluminum Group Co. Ltd. Class A

    5,000       5,518  

Tianshui Huatian Technology Co. Ltd. Class A

    4,400       6,483  

Tibet Summit Resources Co. Ltd. Class A *

    1,000       3,335  

Tingyi Cayman Islands Holding Corp.

    42,000       70,285  

Titan Wind Energy Suzhou Co. Ltd. Class A

    2,400       5,155  

Toly Bread Co. Ltd. Class A

    1,568       3,553  

Tongcheng Travel Holdings Ltd. *

    26,400       57,466  

TongFu Microelectronics Co. Ltd. Class A *

    2,000       6,477  

Tongkun Group Co. Ltd. Class A

    3,100       6,479  

Tongling Nonferrous Metals Group Co. Ltd. Class A

    13,600       6,366  

Tongwei Co. Ltd. Class A

    5,800       32,863  

Topchoice Medical Corp. Class A *

    400       7,522  

Topsports International Holdings Ltd. ~

    40,000       36,462  

TravelSky Technology Ltd. Class H

    20,000       37,267  

Trina Solar Co. Ltd. Class A

    2,801       21,221  

Trip.com Group Ltd. ADR *

    11,749       442,585  

Tsingtao Brewery Co. Ltd. Class A

    700       12,284  

Tsingtao Brewery Co. Ltd. Class H

    14,000       153,023  

Uni-President China Holdings Ltd.

    28,000       28,240  

Unigroup Guoxin Microelectronics Co. Ltd. Class A

    1,139       18,424  

Unisplendour Corp. Ltd. Class A

    3,700       15,799  

Vipshop Holdings Ltd. ADR *

    9,010       136,772  

Walvax Biotechnology Co. Ltd. Class A

    2,100       10,530  

Wanda Film Holding Co. Ltd. Class A *

    2,800       5,830  

Wanhua Chemical Group Co. Ltd. Class A

    4,100       57,145  

Want Want China Holdings Ltd.

    102,000       65,626  

Weibo Corp. ADR *

    1,526       30,612  

Weichai Power Co. Ltd. Class A

    6,500       11,937  

Weichai Power Co. Ltd. Class H

    45,000       72,208  

Weihai Guangwei Composites Co. Ltd. Class A

    600       4,459  

Wens Foodstuffs Group Co. Ltd. Class A

    8,500       25,321  

Western Mining Co. Ltd. Class A

    3,100       5,708  

Western Securities Co. Ltd. Class A

    6,400       5,934  

Western Superconducting Technologies Co. Ltd. Class A

    502       5,970  

Will Semiconductor Co. Ltd. Class A

    1,480       19,678  

Wingtech Technology Co. Ltd. Class A

    1,600       12,898  

Wuchan Zhongda Group Co. Ltd. Class A

    6,000       4,237  

Wuhan DR Laser Technology Corp. Ltd. Class A

    200       3,149  

Wuhan Guide Infrared Co. Ltd. Class A

    4,196       7,393  

Wuliangye Yibin Co. Ltd. Class A

    5,000       142,852  

WUS Printed Circuit Kunshan Co. Ltd. Class A

    2,700       8,451  

WuXi AppTec Co. Ltd. Class A

    3,100       35,847  

WuXi AppTec Co. Ltd. Class H ~

    7,840       82,107  

Wuxi Biologics Cayman, Inc. * ~

    77,500       477,552  

Wuxi Shangji Automation Co. Ltd. Class A

    520       7,736  

XCMG Construction Machinery Co. Ltd. Class A

    15,200       15,334  

Xiamen C & D, Inc. Class A

    4,000       7,014  

Xiamen Faratronic Co. Ltd. Class A

    300       6,383  

Xiamen Tungsten Co. Ltd. Class A

    1,600       4,746  

Xiaomi Corp. Class B * ~

    328,000       504,776  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

283

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Xinjiang Goldwind Science & Technology Co. Ltd. Class A

    4,400       $7,077  

Xinjiang Zhongtai Chemical Co. Ltd. Class A

    3,100       3,272  

Xinyi Solar Holdings Ltd.

    106,081       127,170  

XPeng, Inc. Class A *

    18,408       102,180  

Xtep International Holdings Ltd.

    28,500       36,299  

Yadea Group Holdings Ltd. ~

    26,000       66,974  

Yangzhou Yangjie Electronic Technology Co. Ltd. Class A

    700       5,611  

Yankuang Energy Group Co. Ltd. Class A

    2,800       14,508  

Yankuang Energy Group Co. Ltd. Class H

    34,000       121,735  

Yantai Jereh Oilfield Services Group Co. Ltd. Class A

    1,400       5,769  

Yealink Network Technology Corp. Ltd. Class A

    1,200       13,298  

Yifeng Pharmacy Chain Co. Ltd. Class A

    980       8,263  

Yihai International Holding Ltd. *

    10,000       29,381  

Yihai Kerry Arawana Holdings Co. Ltd. Class A

    1,900       11,916  

Yintai Gold Co. Ltd. Class A

    3,800       7,274  

YongXing Special Materials Technology Co. Ltd. Class A

    500       6,131  

Yonyou Network Technology Co. Ltd. Class A

    4,400       16,133  

Youngor Group Co. Ltd. Class A

    5,900       5,601  

Youngy Co. Ltd. Class A *

    300       3,314  

YTO Express Group Co. Ltd. Class A

    4,400       11,718  

Yuan Longping High-tech Agriculture Co. Ltd. Class A *

    1,500       3,626  

Yuexiu Property Co. Ltd.

    29,600       44,756  

Yum China Holdings, Inc.

    9,012       571,271  

Yunda Holding Co. Ltd. Class A

    3,700       6,364  

Yunnan Aluminium Co. Ltd. Class A

    4,600       9,103  

Yunnan Baiyao Group Co. Ltd. Class A

    2,260       17,988  

Yunnan Botanee Bio-Technology Group Co. Ltd. Class A

    400       7,457  

Yunnan Energy New Material Co. Ltd. Class A

    1,200       19,913  

Yunnan Tin Co. Ltd. Class A

    1,800       3,886  

Yunnan Yuntianhua Co. Ltd. Class A *

    2,400       7,415  

Zai Lab Ltd. ADR *

    1,898       63,127  

Zangge Mining Co. Ltd. Class A

    2,000       7,041  

Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A

    800       33,096  

Zhaojin Mining Industry Co. Ltd. Class H *

    25,500       38,670  

Zhefu Holding Group Co. Ltd. Class A

    7,800       4,624  

Zhejiang Century Huatong Group Co. Ltd. Class A *

    10,020       8,794  

Zhejiang China Commodities City Group Co. Ltd. Class A

    8,000       6,733  

Zhejiang Chint Electrics Co. Ltd. Class A

    2,800       11,402  

Zhejiang Dahua Technology Co. Ltd. Class A

    2,800       9,217  

Zhejiang Dingli Machinery Co. Ltd. Class A

    700       5,584  

Zhejiang Expressway Co. Ltd. Class H

    30,000       23,868  

Zhejiang HangKe Technology, Inc. Co. Class A

    553       3,622  

Zhejiang Huahai Pharmaceutical Co. Ltd. Class A

    2,100       6,164  

Zhejiang Huayou Cobalt Co. Ltd. Class A

    2,075       16,627  

Zhejiang Jingsheng Mechanical & Electrical Co. Ltd. Class A

    1,700       16,211  

Zhejiang Jiuzhou Pharmaceutical Co. Ltd. Class A

    1,200       5,808  

Zhejiang Juhua Co. Ltd. Class A

    3,500       9,002  

Zhejiang NHU Co. Ltd. Class A

    4,004       10,458  

Zhejiang Supcon Technology Co. Ltd. Class A

    447       6,779  

Zhejiang Supor Co. Ltd. Class A

    600       4,723  

Zhejiang Weiming Environment Protection Co. Ltd. Class A

    2,420       6,427  

Zhejiang Weixing New Building Materials Co. Ltd. Class A

    2,000       7,062  

Zhejiang Wolwo Bio-Pharmaceutical Co. Ltd. Class A

    700       4,850  

Zhejiang Yongtai Technology Co. Ltd. Class A

    1,000       3,050  

Zheshang Securities Co. Ltd. Class A

    4,900       7,191  

ZhongAn Online P&C Insurance Co. Ltd. Class H * ~

    15,300       48,080  

Zhongji Innolight Co. Ltd. Class A

    900       7,714  

Zhongsheng Group Holdings Ltd.

    13,000       64,056  

Zhongtai Securities Co. Ltd. Class A

    8,000       7,811  
   

Shares

   

Value

 

Zhuzhou CRRC Times Electric Co. Ltd.

    12,100       $52,645  

Zhuzhou CRRC Times Electric Co. Ltd. Class A

    532       3,702  

Zhuzhou Hongda Electronics Corp. Ltd. Class A

    600       3,989  

Zhuzhou Kibing Group Co. Ltd. Class A

    3,900       5,929  

Zibo Qixiang Tengda Chemical Co. Ltd. Class A *

    3,500       3,653  

Zijin Mining Group Co. Ltd. Class A

    24,100       43,306  

Zijin Mining Group Co. Ltd. Class H

    126,000       210,213  

Zoomlion Heavy Industry Science & Technology Co. Ltd. Class A

    9,100       8,227  

ZTE Corp. Class A

    4,500       21,327  

ZTE Corp. Class H

    17,400       50,997  

ZTO Express Cayman, Inc. ADR

    9,101       260,835  
   

 

 

 
    45,893,650  
   

 

 

 

Colombia - 0.0%

 

Bancolombia SA

    5,490       41,248  

Interconexion Electrica SA ESP

    9,542       31,042  
   

 

 

 
    72,290  
   

 

 

 

Czech Republic - 0.2%

 

CEZ AS

    3,476       168,821  

Komercni banka AS

    1,636       54,284  

Moneta Money Bank AS ~

    7,149       28,691  
   

 

 

 
    251,796  
   

 

 

 

Egypt - 0.1%

 

Commercial International Bank Egypt SAE

    54,598       90,367  

Eastern Co. SAE

    22,277       12,684  

Egyptian Financial Group-Hermes Holding Co. *

    16,282       8,865  
   

 

 

 
    111,916  
   

 

 

 

Greece - 0.4%

 

Alpha Services and Holdings SA *

    48,042       59,045  

Eurobank Ergasias Services and Holdings SA *

    55,961       74,147  

Hellenic Telecommunications Organization SA

    4,287       62,787  

JUMBO SA

    2,492       52,880  

Motor Oil Hellas Corinth Refineries SA

    1,312       33,676  

Mytilineos SA

    2,155       61,435  

National Bank of Greece SA *

    11,820       57,552  

OPAP SA *

    4,303       69,016  

Public Power Corp. SA *

    4,529       39,420  

Terna Energy SA

    1,246       26,545  
   

 

 

 
    536,503  
   

 

 

 

Hong Kong - 0.2%

 

Kingboard Laminates Holdings Ltd.

    20,000       20,905  

Nine Dragons Paper Holdings Ltd.

    35,000       26,204  

Orient Overseas International Ltd.

    3,000       57,586  

Sino Biopharmaceutical Ltd.

    223,000       124,991  

Vinda International Holdings Ltd.

    8,000       19,307  
   

 

 

 
    248,993  
   

 

 

 

Hungary - 0.2%

 

MOL Hungarian Oil & Gas PLC

    8,828       64,655  

OTP Bank Nyrt

    4,825       137,751  

Richter Gedeon Nyrt

    3,009       62,825  
   

 

 

 
    265,231  
   

 

 

 

India - 12.7%

 

ABB India Ltd.

    1,141       46,814  

ACC Ltd.

    1,414       28,778  

Adani Enterprises Ltd.

    3,683       78,811  

Adani Green Energy Ltd. *

    6,823       73,251  

Adani Ports & Special Economic Zone Ltd.

    11,373       87,837  

Adani Power Ltd. *

    16,612       38,788  

Adani Total Gas Ltd.

    5,921       62,438  

Adani Transmission Ltd. *

    6,006       72,667  

Ambuja Cements Ltd. *

    12,827       57,270  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

284

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Apollo Hospitals Enterprise Ltd.

    2,167       $113,964  

Asian Paints Ltd.

    8,261       278,327  

AU Small Finance Bank Ltd. ~

    3,586       25,370  

Aurobindo Pharma Ltd.

    5,669       35,826  

Avenue Supermarts Ltd. * ~

    3,488       144,738  

Axis Bank Ltd.

    48,993       513,288  

Bajaj Auto Ltd.

    1,463       69,207  

Bajaj Finance Ltd.

    5,868       402,631  

Bajaj Finserv Ltd.

    8,232       127,368  

Bajaj Holdings & Investment Ltd.

    575       41,512  

Balkrishna Industries Ltd.

    1,666       39,667  

Bandhan Bank Ltd. * ~

    13,874       33,169  

Bank of Baroda

    22,273       45,940  

Berger Paints India Ltd.

    5,234       37,119  

Bharat Electronics Ltd.

    78,673       93,635  

Bharat Forge Ltd.

    5,517       51,864  

Bharat Petroleum Corp. Ltd.

    18,690       78,453  

Bharti Airtel Ltd.

    47,929       437,089  

Britannia Industries Ltd.

    2,335       123,079  

CG Power & Industrial Solutions Ltd.

    13,152       48,118  

Cholamandalam Investment and Finance Co. Ltd.

    8,847       82,203  

Cipla Ltd.

    10,424       114,410  

Coal India Ltd.

    33,184       86,504  

Colgate-Palmolive India Ltd.

    2,635       48,384  

Container Corp. Of India Ltd.

    5,903       41,774  

Dabur India Ltd.

    13,349       88,637  

Divi’s Laboratories Ltd.

    2,858       98,411  

DLF Ltd.

    13,314       58,015  

Dr Reddy’s Laboratories Ltd.

    2,509       141,479  

Eicher Motors Ltd.

    2,945       105,818  

GAIL India Ltd.

    49,575       63,622  

Godrej Consumer Products Ltd. *

    8,807       103,950  

Godrej Properties Ltd. *

    2,693       33,910  

Grasim Industries Ltd.

    5,674       112,941  

Havells India Ltd.

    5,398       78,268  

HCL Technologies Ltd.

    20,458       271,592  

HDFC Life Insurance Co. Ltd. ~

    20,828       126,659  

Hero MotoCorp Ltd.

    2,368       67,803  

Hindalco Industries Ltd.

    29,050       144,033  

Hindustan Petroleum Corp. Ltd.

    13,747       39,710  

Hindustan Unilever Ltd.

    17,711       553,102  

Housing Development Finance Corp. Ltd.

    37,226       1,193,765  

ICICI Bank Ltd.

    111,159       1,187,894  

ICICI Lombard General Insurance Co. Ltd. ~

    5,184       67,564  

ICICI Prudential Life Insurance Co. Ltd. ~

    7,744       41,151  

Indian Hotels Co. Ltd.

    18,351       72,649  

Indian Oil Corp. Ltd.

    60,839       57,791  

Indian Railway Catering & Tourism Corp. Ltd.

    5,167       36,112  

Indraprastha Gas Ltd.

    6,783       35,451  

Indus Towers Ltd.

    14,499       25,276  

Info Edge India Ltd.

    1,528       69,499  

Infosys Ltd.

    72,507       1,267,650  

InterGlobe Aviation Ltd. * ~

    2,076       48,369  

ITC Ltd.

    64,153       300,164  

Jindal Steel & Power Ltd.

    7,695       51,350  

JSW Steel Ltd.

    15,625       131,198  

Jubilant Foodworks Ltd.

    8,503       45,671  

Kotak Mahindra Bank Ltd.

    11,977       253,156  

Larsen & Toubro Ltd.

    14,832       391,510  

LTIMindtree Ltd. ~

    1,911       111,282  

Lupin Ltd.

    4,404       34,799  

Mahindra & Mahindra Ltd.

    18,745       264,894  

Marico Ltd.

    11,142       65,160  

Maruti Suzuki India Ltd.

    2,603       263,238  

Mphasis Ltd.

    1,824       40,098  

MRF Ltd.

    41       41,993  

Muthoot Finance Ltd.

    2,593       31,007  

Nestle India Ltd.

    727       174,558  

NTPC Ltd.

    83,537       178,347  

Oil & Natural Gas Corp. Ltd.

    54,212       99,909  

Page Industries Ltd.

    132       60,975  

Petronet LNG Ltd.

    16,156       45,070  
   

Shares

   

Value

 

PI Industries Ltd.

    1,633       $60,341  

Pidilite Industries Ltd.

    3,285       94,231  

Power Grid Corp. of India Ltd.

    67,611       186,139  

Reliance Industries Ltd.

    65,571       1,864,483  

Samvardhana Motherson International Ltd.

    43,787       35,871  

SBI Cards & Payment Services Ltd.

    5,086       45,902  

SBI Life Insurance Co. Ltd. ~

    9,699       130,120  

Shree Cement Ltd.

    233       74,406  

Shriram Finance Ltd.

    4,836       74,345  

Siemens Ltd.

    1,534       62,242  

SRF Ltd.

    3,193       93,968  

State Bank of India

    38,444       245,755  

Sun Pharmaceutical Industries Ltd.

    20,665       247,614  

Tata Consultancy Services Ltd.

    19,703       772,315  

Tata Consumer Products Ltd.

    12,007       103,760  

Tata Elxsi Ltd.

    737       53,665  

Tata Motors Ltd. *

    35,769       184,286  

Tata Power Co. Ltd.

    30,972       71,976  

Tata Steel Ltd.

    157,858       201,659  

Tech Mahindra Ltd.

    12,580       169,587  

Titan Co. Ltd.

    7,648       234,902  

Torrent Pharmaceuticals Ltd.

    2,183       40,889  

Trent Ltd.

    3,905       65,509  

Tube Investments of India Ltd.

    2,287       71,059  

TVS Motor Co. Ltd.

    4,605       60,528  

UltraTech Cement Ltd.

    2,176       202,202  

United Spirits Ltd. *

    6,262       57,782  

UPL Ltd.

    10,507       91,926  

Varun Beverages Ltd.

    4,896       82,840  

Vedanta Ltd.

    16,024       53,679  

Wipro Ltd.

    29,545       131,812  

Yes Bank Ltd. *

    247,726       45,491  

Zomato Ltd. *

    64,438       40,294  
   

 

 

 
    18,387,371  
   

 

 

 

Indonesia - 1.8%

 

Aneka Tambang Tbk

    181,100       25,279  

P.T. Adaro Energy Indonesia Tbk

    310,000       60,093  

P.T. Astra International Tbk

    436,000       174,701  

P.T. Bank Central Asia Tbk

    1,194,800       699,011  

P.T. Bank Mandiri Persero Tbk

    402,000       276,836  

P.T. Bank Negara Indonesia Persero Tbk

    160,600       100,494  

P.T. Bank Rakyat Indonesia Persero Tbk

    1,468,897       465,424  

P.T. Barito Pacific Tbk

    607,991       33,522  

P.T. Charoen Pokphand Indonesia Tbk

    158,900       52,941  

P.T. Indah Kiat Pulp & Paper Tbk

    58,900       29,520  

P.T. Indofood CBP Sukses Makmur Tbk

    50,200       33,426  

P.T. Indofood Sukses Makmur Tbk

    94,500       39,124  

P.T. Kalbe Farma Tbk

    453,800       63,600  

P.T. Merdeka Copper Gold Tbk *

    259,662       72,717  

P.T. Sarana Menara Nusantara Tbk

    439,100       27,162  

P.T. Semen Indonesia Persero Tbk

    72,933       30,706  

P.T. Sumber Alfaria Trijaya Tbk

    357,700       68,822  

P.T. Telkom Indonesia Persero Tbk

    1,066,700       289,655  

P.T. Unilever Indonesia Tbk

    164,400       47,697  

P.T. United Tractors Tbk

    36,200       70,351  

P.T. Vale Indonesia Tbk *

    53,500       23,772  
   

 

 

 
    2,684,853  
   

 

 

 

Kuwait - 0.8%

 

Agility Public Warehousing Co. KSC

    31,690       64,513  

Boubyan Bank KSCP

    28,160       59,063  

Gulf Bank KSCP

    34,462       33,559  

Kuwait Finance House KSCP

    158,998       430,198  

Mabanee Co. KPSC

    13,355       31,783  

Mobile Telecommunications Co.

    46,594       82,193  

National Bank of Kuwait SAKP

    154,534       533,128  
   

 

 

 
    1,234,437  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

285

PACIFIC SELECT FUND

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Luxembourg - 0.0%

 

Reinet Investments SCA

    2,953       $60,546  
   

 

 

 

Malaysia - 1.4%

 

AMMB Holdings Bhd

    39,300       33,486  

Axiata Group Bhd

    59,300       40,561  

CELCOMDIGI Bhd

    67,000       65,987  

CIMB Group Holdings Bhd

    149,320       179,952  

Dialog Group Bhd

    79,100       42,406  

Gamuda Bhd

    39,400       36,506  

Genting Bhd

    45,900       48,583  

Genting Malaysia Bhd

    63,800       38,389  

HAP Seng Consolidated Bhd

    13,400       15,502  

Hong Leong Bank Bhd

    14,000       64,216  

Hong Leong Financial Group Bhd

    5,000       20,379  

IHH Healthcare Bhd

    37,900       49,370  

Inari Amertron Bhd

    60,200       33,792  

IOI Corp. Bhd

    54,200       46,929  

Kuala Lumpur Kepong Bhd

    9,300       43,893  

Malayan Banking Bhd

    103,888       201,911  

Malaysia Airports Holdings Bhd *

    14,300       22,036  

Maxis Bhd

    50,600       47,439  

MISC Bhd

    28,900       47,376  

MR DIY Group M Bhd ~

    50,750       17,867  

Nestle Malaysia Bhd

    1,500       46,606  

Petronas Chemicals Group Bhd

    51,700       83,081  

Petronas Dagangan Bhd

    6,400       30,926  

Petronas Gas Bhd

    17,100       63,866  

PPB Group Bhd

    13,800       51,791  

Press Metal Aluminium Holdings Bhd

    79,900       88,496  

Public Bank Bhd

    313,600       284,594  

QL Resources Bhd

    23,600       31,074  

RHB Bank Bhd

    32,031       40,527  

Sime Darby Bhd

    58,700       28,618  

Sime Darby Plantation Bhd

    44,702       43,401  

Telekom Malaysia Bhd

    24,681       27,434  

Tenaga Nasional Bhd

    55,800       116,770  

Top Glove Corp. Bhd *

    114,900       24,556  
   

 

 

 
    2,058,320  
   

 

 

 

Mexico - 2.7%

 

Alfa SAB de CV Class A

    62,200       39,419  

America Movil SAB de CV ‘B’

    593,900       623,892  

Arca Continental SAB de CV

    9,400       85,362  

Banco del Bajio SA ~

    16,700       60,795  

Cemex SAB de CV *

    326,400       179,140  

Coca-Cola Femsa SAB de CV

    11,315       90,878  

Fibra Uno Administracion SA de CV REIT

    66,000       92,187  

Fomento Economico Mexicano SAB de CV

    41,900       399,468  

Gruma SAB de CV Class B

    4,390       64,763  

Grupo Aeroportuario del Pacifico SAB de CV Class B

    7,700       149,817  

Grupo Aeroportuario del Sureste SAB de CV Class B

    4,175       127,710  

Grupo Bimbo SAB de CV

    28,700       144,424  

Grupo Carso SAB de CV Series A1

    9,700       48,209  

Grupo Financiero Banorte SAB de CV Class O

    55,900       471,210  

Grupo Financiero Inbursa SAB de CV Class O *

    46,200       99,348  

Grupo Mexico SAB de CV

    67,100       317,738  

Grupo Televisa SAB

    51,800       54,818  

Industrias Penoles SAB de CV *

    3,000       44,251  

Kimberly-Clark de Mexico SAB de CV Class A

    32,800       69,095  

Operadora De Sites Mexicanos SAB de CV Class A-1

    27,900       27,590  

Orbia Advance Corp. SAB de CV

    21,600       46,964  

Promotora y Operadora de Infraestructura SAB de CV

    4,910       49,032  

Southern Copper Corp.

    1,832       139,690  
   

Shares

   

Value

 

Wal-Mart de Mexico SAB de CV

    112,800       $450,887  
   

 

 

 
    3,876,687  
   

 

 

 

Peru - 0.2%

 

Cia de Minas Buenaventura SAA ADR

    4,647       38,013  

Credicorp Ltd.

    1,542       204,145  
   

 

 

 
    242,158  
   

 

 

 

Philippines - 0.7%

 

Aboitiz Equity Ventures, Inc.

    36,310       32,436  

ACEN Corp. *

    13,230       1,498  

Ayala Corp.

    5,330       64,051  

Ayala Land, Inc.

    158,800       77,829  

Bank of the Philippine Islands

    42,332       80,035  

BDO Unibank, Inc.

    50,982       120,913  

International Container Terminal Services, Inc.

    21,850       85,791  

JG Summit Holdings, Inc.

    64,760       57,167  

Jollibee Foods Corp.

    9,610       39,616  

Manila Electric Co.

    6,060       34,729  

Metropolitan Bank & Trust Co.

    38,660       41,697  

Monde Nissin Corp. ~

    135,200       24,457  

PLDT, Inc.

    1,860       48,710  

SM Investments Corp.

    5,260       86,339  

SM Prime Holdings, Inc.

    248,700       150,476  

Universal Robina Corp.

    18,740       49,791  
   

 

 

 
    995,535  
   

 

 

 

Poland - 0.7%

 

Allegro.eu SA * ~

    7,964       54,377  

Bank Polska Kasa Opieki SA

    3,958       78,737  

CD Projekt SA

    1,410       36,501  

Cyfrowy Polsat SA

    5,518       21,441  

Dino Polska SA * ~

    1,056       95,917  

KGHM Polska Miedz SA

    3,016       85,663  

LPP SA

    24       53,286  

mBank SA *

    320       22,825  

PGE Polska Grupa Energetyczna SA *

    19,336       28,159  

Polski Koncern Naftowy ORLEN SA

    13,754       185,651  

Powszechna Kasa Oszczednosci Bank Polski SA

    18,847       125,080  

Powszechny Zaklad Ubezpieczen SA

    13,022       106,035  

Santander Bank Polska SA

    771       52,220  
   

 

 

 
    945,892  
   

 

 

 

Qatar - 0.9%

 

Barwa Real Estate Co.

    46,027       33,045  

Commercial Bank PSQC

    69,735       111,712  

Industries Qatar QSC

    32,573       116,722  

Masraf Al Rayan QSC

    120,175       98,077  

Mesaieed Petrochemical Holding Co.

    94,724       50,168  

Ooredoo QPSC

    17,243       44,532  

Qatar Electricity & Water Co. QSC

    9,479       43,932  

Qatar Fuel QSC

    12,847       61,402  

Qatar Gas Transport Co. Ltd.

    53,684       51,133  

Qatar International Islamic Bank QSC

    21,188       57,707  

Qatar Islamic Bank SAQ

    35,623       174,594  

Qatar National Bank QPSC

    99,466       439,455  
   

 

 

 
    1,282,479  
   

 

 

 

Romania - 0.0%

 

NEPI Rockcastle NV *

    9,838       57,083  
   

 

 

 

Russia - 0.0%

 

Alrosa PJSC * W ±

    104,260       -  

Gazprom PJSC * W ±

    58,020       -  

Gazprom PJSC ADR (OTC) * W ±

    8,195       -  

Gazprom PJSC ADR (SEAQ) * W ±

    194,171       -  

Inter RAO UES PJSC * W ±

    1,499,500       -  

LUKOIL PJSC * W ±

    2,583       -  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

286

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Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

LUKOIL PJSC ADR (SEAQ) * W ±

    13,502       $-  

Magnit PJSC GDR * ~ W ±

    3,308       -  

Magnit PJSC GDR (LI) * ~ W ±

    10,327       -  

MMC Norilsk Nickel PJSC * W ±

    298       -  

MMC Norilsk Nickel PJSC ADR * W ±

    21,092       -  

Mobile TeleSystems PJSC ADR * W ±

    17,555       -  

Moscow Exchange MICEX-RTS PJSC * W ±

    58,150       -  

Novatek PJSC GDR (LI) * ~ W ±

    3,551       -  

Novolipetsk Steel PJSC * W ±

    4,620       -  

Novolipetsk Steel PJSC GDR * W ±

    5,477       -  

Ozon Holdings PLC ADR * W ±

    1,985       -  

PhosAgro PJSC * W ±

    34       -  

PhosAgro PJSC GDR * ~ W ±

    5,315       -  

Polyus PJSC * W ±

    241       -  

Polyus PJSC ADR * W ±

    2,028       -  

Polyus PJSC GDR * ~ W ±

    262       -  

Rosneft Oil Co. PJSC * W ±

    3,660       -  

Rosneft Oil Co. PJSC GDR * ~ W ±

    41,896       -  

Sberbank of Russia PJSC * W ±

    41,510       -  

Sberbank of Russia PJSC ADR (OTC) * W ±

    2,527       -  

Sberbank of Russia PJSC ADR (SEAQ) * W ±

    92,176       -  

Severstal PAO * W ±

    812       -  

Severstal PAO GDR * ~ W ±

    7,476       -  

Surgutneftegas PJSC ADR (LI) * W ±

    49,470       -  

Tatneft PJSC * W ±

    9,037       -  

Tatneft PJSC ADR * W ±

    7,942       -  

TCS Group Holding PLC GDR * ~ W ±

    4,555       -  

United Co. RUSAL International PJSC * W ±

    114,970       -  

VK Co. Ltd. GDR * W ±

    4,153       -  

VTB Bank PJSC * W ±

    21,000,000       1  

VTB Bank PJSC GDR * ~ W ±

    57,906       -  

X5 Retail Group NV GDR * ~ W ±

    4,746       -  

Yandex NV Class A * W ±

    11,538       -  
   

 

 

 
    1  
   

 

 

 

Saudi Arabia - 3.8%

 

ACWA Power Co.

    1,732       65,118  

Advanced Petrochemical Co.

    2,744       35,076  

Al Rajhi Bank

    42,215       831,046  

Alinma Bank

    21,107       166,440  

Almarai Co. JSC

    5,386       81,146  

Arab National Bank

    12,922       89,214  

Arabian Internet & Communications Services Co.

    517       34,361  

Bank Al-Jazira

    8,654       42,178  

Bank AlBilad *

    10,553       112,618  

Banque Saudi Fransi

    12,721       123,412  

Bupa Arabia for Cooperative Insurance Co.

    1,615       74,776  

Dallah Healthcare Co.

    775       31,872  

Dar Al Arkan Real Estate Development Co. *

    11,394       48,907  

Dr Sulaiman Al Habib Medical Services Group Co.

    1,885       146,731  

Elm Co.

    517       61,098  

Emaar Economic City *

    8,525       18,352  

Etihad Etisalat Co.

    8,126       89,595  

Jarir Marketing Co.

    1,266       55,141  

Mobile Telecommunications Co. Saudi Arabia *

    9,480       32,919  

Mouwasat Medical Services Co.

    1,055       66,256  

Nahdi Medical Co.

    840       41,472  

National Industrialization Co. *

    7,062       23,111  

Rabigh Refining & Petrochemical Co. *

    8,998       24,183  

Riyad Bank

    29,076       231,458  

SABIC Agri-Nutrients Co.

    4,614       157,297  

Sahara International Petrochemical Co.

    7,740       78,537  

Saudi Arabian Mining Co. *

    18,555       318,451  

Saudi Arabian Oil Co. ~

    52,130       449,319  

Saudi Basic Industries Corp.

    19,386       467,814  

Saudi British Bank

    19,916       187,647  

Saudi Electricity Co.

    17,952       112,025  

Saudi Industrial Investment Group

    7,966       53,188  

Saudi Investment Bank

    10,554       46,856  

Saudi Kayan Petrochemical Co. *

    15,834       51,227  

Saudi National Bank

    47,260       578,734  
   

Shares

   

Value

 

Saudi Research & Media Group *

    776       $40,867  

Saudi Tadawul Group Holding Co.

    1,033       39,844  

Saudi Telecom Co.

    32,308       345,566  

Savola Group

    5,637       42,109  

Yanbu National Petrochemical Co.

    5,453       61,453  
   

 

 

 
    5,557,414  
   

 

 

 

South Africa - 3.2%

 

Absa Group Ltd.

    18,256       186,600  

African Rainbow Minerals Ltd.

    2,423       31,390  

Anglo American Platinum Ltd.

    1,143       61,358  

Aspen Pharmacare Holdings Ltd.

    8,167       84,446  

Bid Corp. Ltd.

    7,224       161,683  

Bidvest Group Ltd.

    6,230       88,672  

Capitec Bank Holdings Ltd.

    1,875       177,726  

Clicks Group Ltd.

    5,254       75,875  

Discovery Ltd. *

    10,757       84,250  

Exxaro Resources Ltd.

    5,266       55,040  

FirstRand Ltd.

    108,723       368,506  

Foschini Group Ltd.

    7,125       36,371  

Gold Fields Ltd.

    19,199       257,182  

Growthpoint Properties Ltd. REIT

    73,825       54,151  

Harmony Gold Mining Co. Ltd.

    11,983       49,671  

Impala Platinum Holdings Ltd.

    18,367       169,056  

Kumba Iron Ore Ltd.

    1,388       35,094  

Mr Price Group Ltd.

    5,528       44,770  

MTN Group Ltd.

    36,522       261,660  

MultiChoice Group

    8,102       56,134  

Naspers Ltd. Class N

    4,690       869,030  

Nedbank Group Ltd.

    9,913       120,732  

Northam Platinum Holdings Ltd. *

    7,262       59,042  

Old Mutual Ltd.

    105,902       70,201  

OUTsurance Group Ltd.

    18,149       35,605  

Pepkor Holdings Ltd. ~

    43,562       42,180  

Remgro Ltd.

    11,393       86,019  

Sanlam Ltd.

    38,375       121,494  

Sasol Ltd.

    12,297       166,177  

Shoprite Holdings Ltd.

    10,826       135,102  

Sibanye Stillwater Ltd.

    60,965       125,881  

Standard Bank Group Ltd.

    28,914       280,345  

Vodacom Group Ltd.

    13,841       94,870  

Woolworths Holdings Ltd.

    20,809       74,716  
   

 

 

 
    4,621,029  
   

 

 

 

South Korea - 11.0%

 

Amorepacific Corp.

    629       66,388  

BGF retail Co. Ltd.

    168       23,403  

Celltrion Healthcare Co. Ltd.

    1,949       90,791  

Celltrion Pharm, Inc. *

    383       24,565  

Celltrion, Inc.

    2,207       255,103  

Cheil Worldwide, Inc.

    1,489       21,333  

CJ CheilJedang Corp. *

    178       44,594  

CJ Corp.

    314       25,170  

Coway Co. Ltd.

    1,192       48,109  

DB Insurance Co. Ltd.

    991       57,015  

Doosan Bobcat, Inc.

    1,080       36,324  

Doosan Enerbility Co. Ltd. *

    8,935       117,334  

E-MART, Inc.

    450       36,598  

Ecopro BM Co. Ltd.

    1,053       182,479  

F&F Co. Ltd.

    371       39,919  

GS Holdings Corp.

    1,002       31,082  

Hana Financial Group, Inc.

    6,373       199,596  

Hankook Tire & Technology Co. Ltd.

    1,602       42,850  

Hanmi Pharm Co. Ltd.

    149       29,371  

Hanon Systems

    4,026       27,242  

Hanwha Galleria Co. Ltd. *

    1,858       3,039  

Hanwha Solutions Corp. *

    1,647       67,937  

HD Hyundai Co. Ltd.

    1,022       45,664  

HLB, Inc. *

    2,354       63,327  

HMM Co. Ltd.

    5,793       91,092  

Hotel Shilla Co. Ltd.

    676       42,483  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any, on page 297

 

287

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PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

HYBE Co. Ltd. *

    401       $58,555  

Hyundai Engineering & Construction Co. Ltd.

    1,678       47,190  

Hyundai Glovis Co. Ltd.

    404       49,339  

Hyundai Heavy Industries Co. Ltd. *

    383       29,606  

Hyundai Mipo Dockyard Co. Ltd. *

    516       27,909  

Hyundai Mobis Co. Ltd.

    1,320       219,238  

Hyundai Motor Co.

    3,010       428,240  

Hyundai Steel Co.

    1,869       49,962  

Industrial Bank of Korea

    5,619       43,700  

Kakao Corp.

    6,713       317,920  

Kakao Games Corp. *

    796       25,798  

KakaoBank Corp.

    3,079       57,547  

Kakaopay Corp. *

    573       24,705  

Kangwon Land, Inc.

    2,070       31,750  

KB Financial Group, Inc.

    8,366       305,545  

Kia Corp.

    5,676       354,228  

Korea Aerospace Industries Ltd.

    1,573       57,443  

Korea Electric Power Corp. *

    5,531       76,652  

Korea Investment Holdings Co. Ltd.

    899       38,160  

Korea Shipbuilding & Offshore Engineering Co. Ltd. *

    915       54,716  

Korea Zinc Co. Ltd.

    193       82,115  

Korean Air Lines Co. Ltd.

    3,964       70,774  

Krafton, Inc. *

    634       90,175  

KT&G Corp.

    2,366       152,058  

Kumho Petrochemical Co. Ltd.

    379       41,923  

L&F Co. Ltd.

    503       121,943  

LG Chem Ltd.

    1,065       584,891  

LG Corp.

    2,033       129,454  

LG Display Co. Ltd. *

    5,009       63,619  

LG Electronics, Inc.

    2,291       204,457  

LG Energy Solution Ltd. *

    756       340,618  

LG H&H Co. Ltd.

    202       93,324  

LG Innotek Co. Ltd.

    306       64,172  

LG Uplus Corp.

    4,607       38,382  

Lotte Chemical Corp.

    443       65,083  

Lotte Energy Materials Corp.

    496       26,386  

Lotte Shopping Co. Ltd.

    244       15,398  

Meritz Financial Group, Inc.

    1,501       44,716  

Meritz Securities Co. Ltd.

    5,509       25,856  

Mirae Asset Securities Co. Ltd.

    5,959       29,684  

NAVER Corp.

    2,826       442,809  

NCSoft Corp.

    355       101,733  

Netmarble Corp. * ~

    462       23,687  

NH Investment & Securities Co. Ltd.

    3,211       21,767  

Orion Corp.

    511       53,632  

Pan Ocean Co. Ltd.

    5,754       25,794  

Pearl Abyss Corp. *

    622       22,311  

POSCO Chemical Co. Ltd.

    584       123,089  

POSCO Holdings, Inc.

    1,548       437,962  

S-1 Corp.

    368       15,640  

S-Oil Corp.

    970       59,750  

Samsung Biologics Co. Ltd. * ~

    383       232,161  

Samsung C&T Corp.

    1,812       150,901  

Samsung Electro-Mechanics Co. Ltd.

    1,206       142,394  

Samsung Electronics Co. Ltd.

    102,859       5,086,476  

Samsung Engineering Co. Ltd. *

    3,377       82,531  

Samsung Fire & Marine Insurance Co. Ltd.

    663       104,802  

Samsung Heavy Industries Co. Ltd. *

    13,268       52,900  

Samsung Life Insurance Co. Ltd.

    1,724       83,138  

Samsung SDI Co. Ltd.

    1,185       673,126  

Samsung SDS Co. Ltd.

    750       67,072  

Samsung Securities Co. Ltd.

    1,345       32,876  

SD Biosensor, Inc.

    786       12,790  

Shinhan Financial Group Co. Ltd.

    9,863       267,931  

SK Biopharmaceuticals Co. Ltd. *

    674       32,845  

SK Bioscience Co. Ltd. *

    495       27,548  

SK Hynix, Inc.

    11,759       804,726  

SK IE Technology Co. Ltd. * ~

    537       29,631  

SK Innovation Co. Ltd. *

    1,195       165,575  

SK Square Co. Ltd. *

    2,132       65,442  

SK, Inc.

    799       106,460  
   

Shares

   

Value

 

SKC Co. Ltd.

    449       $39,683  

Woori Financial Group, Inc.

    11,762       103,466  

Yuhan Corp.

    1,158       45,084  
   

 

 

 
    16,033,771  
   

 

 

 

Taiwan - 14.6%

 

Accton Technology Corp.

    11,000       115,611  

Acer, Inc.

    62,000       57,465  

Advantech Co. Ltd.

    9,000       110,104  

ASE Technology Holding Co. Ltd.

    71,000       263,485  

Asia Cement Corp.

    50,000       71,198  

Asustek Computer, Inc.

    15,000       134,580  

AUO Corp. *

    141,400       85,906  

Catcher Technology Co. Ltd.

    14,000       87,518  

Cathay Financial Holding Co. Ltd.

    184,202       253,618  

Chailease Holding Co. Ltd.

    31,155       229,125  

Chang Hwa Commercial Bank Ltd.

    102,336       58,423  

Cheng Shin Rubber Industry Co. Ltd.

    38,000       45,696  

China Airlines Ltd.

    62,000       39,924  

China Development Financial Holding Corp.

    326,214       134,981  

China Steel Corp.

    254,000       258,053  

Chunghwa Telecom Co. Ltd.

    82,000       322,333  

Compal Electronics, Inc.

    90,000       74,745  

CTBC Financial Holding Co. Ltd.

    378,000       272,209  

Delta Electronics, Inc.

    42,000       416,709  

E Ink Holdings, Inc.

    18,000       109,866  

E.Sun Financial Holding Co. Ltd.

    276,663       230,397  

Eclat Textile Co. Ltd.

    4,000       65,312  

eMemory Technology, Inc. *

    1,000       61,558  

Eva Airways Corp.

    55,000       48,809  

Evergreen Marine Corp. Taiwan Ltd.

    22,000       115,222  

Far Eastern New Century Corp.

    69,000       71,016  

Far EasTone Telecommunications Co. Ltd.

    34,000       84,027  

Feng TAY Enterprise Co. Ltd.

    10,000       63,654  

First Financial Holding Co. Ltd.

    227,954       198,409  

Formosa Chemicals & Fibre Corp.

    76,000       172,495  

Formosa Petrochemical Corp.

    25,000       69,894  

Formosa Plastics Corp.

    89,000       268,692  

Fubon Financial Holding Co. Ltd.

    160,270       298,279  

Giant Manufacturing Co. Ltd.

    7,181       41,749  

Globalwafers Co. Ltd.

    5,000       85,471  

Hon Hai Precision Industry Co. Ltd.

    269,000       920,786  

Hotai Motor Co. Ltd.

    6,000       126,630  

Hua Nan Financial Holdings Co. Ltd.

    191,316       140,742  

Innolux Corp. *

    195,990       94,034  

Inventec Corp.

    54,000       56,758  

Largan Precision Co. Ltd.

    2,000       143,388  

Lite-On Technology Corp.

    43,000       103,508  

MediaTek, Inc. *

    33,000       855,562  

Mega Financial Holding Co. Ltd.

    240,250       260,380  

Micro-Star International Co. Ltd.

    15,000       71,297  

momo.com, Inc.

    1,200       35,749  

Nan Ya Plastics Corp.

    103,000       262,373  

Nan Ya Printed Circuit Board Corp.

    5,000       46,870  

Nanya Technology Corp.

    27,000       59,220  

Nien Made Enterprise Co. Ltd.

    4,000       43,080  

Novatek Microelectronics Corp.

    12,000       170,526  

Pegatron Corp.

    43,000       98,670  

PharmaEssentia Corp. *

    4,000       56,290  

Pou Chen Corp.

    48,000       49,334  

Powerchip Semiconductor Manufacturing Corp.

    64,000       69,919  

President Chain Store Corp.

    12,000       106,350  

Quanta Computer, Inc.

    58,000       169,913  

Realtek Semiconductor Corp.

    10,000       127,644  

Ruentex Development Co. Ltd.

    37,000       43,091  

Shanghai Commercial & Savings Bank Ltd.

    83,178       128,380  

Shin Kong Financial Holding Co. Ltd.

    282,344       78,305  

SinoPac Financial Holdings Co. Ltd.

    232,204       126,957  

Synnex Technology International Corp.

    29,000       58,510  

Taishin Financial Holding Co. Ltd.

    232,148       127,039  

Taiwan Business Bank

    130,000       57,577  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

288

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Taiwan Cement Corp.

    131,493       $157,266  

Taiwan Cooperative Financial Holding Co. Ltd.

    211,016       181,208  

Taiwan High Speed Rail Corp.

    42,000       41,748  

Taiwan Mobile Co. Ltd.

    37,000       122,769  

Taiwan Semiconductor Manufacturing Co. Ltd.

    531,000       9,305,566  

Uni-President Enterprises Corp.

    104,000       245,855  

Unimicron Technology Corp.

    27,000       131,686  

United Microelectronics Corp.

    255,000       446,233  

Vanguard International Semiconductor Corp.

    19,000       60,781  

Voltronic Power Technology Corp.

    1,000       56,944  

Walsin Lihwa Corp.

    56,727       91,364  

Wan Hai Lines Ltd.

    15,500       35,080  

Win Semiconductors Corp.

    7,000       42,190  

Winbond Electronics Corp.

    64,000       55,997  

Wiwynn Corp.

    2,000       74,203  

WPG Holdings Ltd.

    34,000       56,177  

Yageo Corp.

    7,571       131,979  

Yang Ming Marine Transport Corp.

    38,000       80,671  

Yuanta Financial Holding Co. Ltd.

    215,620       158,564  

Zhen Ding Technology Holding Ltd.

    14,000       52,677  
   

 

 

 
    21,234,373  
   

 

 

 

Thailand - 2.1%

 

Advanced Info Service PCL

    3,400       21,091  

Advanced Info Service PCL NVDR

    22,200       137,708  

Airports of Thailand PCL *

    31,600       65,668  

Airports of Thailand PCL NVDR *

    60,700       126,142  

Asset World Corp. PCL NVDR

    172,200       29,242  

B Grimm Power PCL

    5,900       7,018  

B Grimm Power PCL NVDR

    11,300       13,442  

Bangkok Dusit Medical Services PCL NVDR

    222,500       192,081  

Bangkok Expressway & Metro PCL

    14,600       3,780  

Bangkok Expressway & Metro PCL NVDR

    150,000       38,839  

Banpu PCL

    172,900       54,691  

Berli Jucker PCL NVDR

    25,900       29,035  

BTS Group Holdings PCL NVDR

    170,100       35,375  

Bumrungrad Hospital PCL NVDR

    12,400       82,053  

Carabao Group PCL NVDR

    6,500       18,256  

Central Pattana PCL NVDR

    43,500       87,599  

Central Retail Corp. PCL NVDR

    39,000       51,191  

Charoen Pokphand Foods PCL NVDR

    83,500       51,769  

CP ALL PCL NVDR

    125,800       228,422  

Delta Electronics Thailand PCL

    1,100       36,906  

Delta Electronics Thailand PCL NVDR

    5,600       187,884  

Electricity Generating PCL NVDR

    5,700       25,954  

Energy Absolute PCL

    2,500       5,562  

Energy Absolute PCL NVDR

    33,600       74,751  

Global Power Synergy PCL NVDR

    15,200       30,349  

Gulf Energy Development PCL NVDR

    63,200       97,686  

Home Product Center PCL

    30,300       12,792  

Home Product Center PCL NVDR

    97,100       40,993  

Indorama Ventures PCL NVDR

    36,300       36,679  

Intouch Holdings PCL NVDR

    24,200       52,441  

JMT Network Services PCL NVDR

    14,100       19,243  

Kasikornbank PCL NVDR

    12,800       49,653  

Krung Thai Bank PCL NVDR

    75,300       36,361  

Krungthai Card PCL NVDR

    19,400       30,820  

Land & Houses PCL

    2,800       807  

Land & Houses PCL NVDR

    177,200       51,089  

Minor International PCL NVDR *

    68,090       64,371  

Muangthai Capital PCL

    4,900       4,963  

Muangthai Capital PCL NVDR

    11,000       11,141  

Osotspa PCL NVDR

    32,400       29,160  

PTT Exploration & Production PCL NVDR

    29,900       131,390  

PTT Global Chemical PCL

    8,100       10,861  

PTT Global Chemical PCL NVDR

    40,500       54,307  

PTT Oil & Retail Business PCL NVDR

    64,600       40,279  

PTT PCL

    62,600       58,045  

PTT PCL NVDR

    152,800       141,007  

Ratch Group PCL NVDR

    23,400       26,390  

SCB X PCL

    4,250       12,769  
   

Shares

   

Value

 

SCB X PCL NVDR

    9,100       $27,341  

SCG Packaging PCL NVDR

    27,800       37,684  

Siam Cement PCL

    3,400       31,365  

Siam Cement PCL NVDR

    13,200       121,770  

Srisawad Corp. PCL NVDR

    14,800       22,903  

Thai Oil PCL

    4,014       6,168  

Thai Oil PCL NVDR

    22,483       34,549  

Thai Union Group PCL

    25,000       10,322  

Thai Union Group PCL NVDR

    36,700       15,152  

True Corp. PCL *

    78,087       19,182  

True Corp. PCL NVDR

    182,474       44,825  
   

 

 

 
    3,019,316  
   

 

 

 

Turkey - 0.6%

 

Akbank T.A.S

    67,201       59,462  

Aselsan Elektronik Sanayi Ve Ticaret AS

    14,723       39,907  

BIM Birlesik Magazalar AS

    9,809       76,185  

Eregli Demir ve Celik Fabrikalari TAS *

    30,163       55,812  

Ford Otomotiv Sanayi AS

    1,513       46,207  

Haci Omer Sabanci Holding AS

    21,964       45,426  

Hektas Ticaret TAS *

    24,525       34,593  

KOC Holding AS

    16,388       65,461  

Koza Altin Isletmeleri AS

    20,697       23,336  

Pegasus Hava Tasimaciligi AS *

    991       23,473  

Sasa Polyester Sanayi AS *

    9,650       50,515  

Turk Hava Yollari AO *

    11,889       73,622  

Turkcell Iletisim Hizmetleri AS

    26,053       43,597  

Turkiye Is Bankasi AS Class C

    75,392       51,041  

Turkiye Petrol Rafinerileri AS

    2,964       82,055  

Turkiye Sise ve Cam Fabrikalari AS

    29,687       65,505  

Yapi ve Kredi Bankasi AS

    63,680       31,896  
   

 

 

 
    868,093  
   

 

 

 

United Arab Emirates - 1.2%

 

Abu Dhabi Commercial Bank PJSC

    63,061       142,712  

Abu Dhabi Islamic Bank PJSC

    31,287       85,096  

Abu Dhabi National Oil Co. for Distribution PJSC

    67,293       76,592  

Aldar Properties PJSC

    82,944       105,187  

Dubai Islamic Bank PJSC

    62,379       89,056  

Emaar Properties PJSC

    142,733       218,096  

Emirates NBD Bank PJSC

    40,817       146,064  

Emirates Telecommunications Group Co. PJSC

    74,920       450,153  

First Abu Dhabi Bank PJSC

    95,176       334,278  

Multiply Group PJSC *

    72,359       63,949  

Q Holding PJSC *

    44,267       30,636  
   

 

 

 
    1,741,819  
   

 

 

 

United Kingdom - 0.0%

 

Pepco Group NV *

    3,717       35,801  
   

 

 

 

United States - 0.1%

 

JBS SA

    16,700       58,814  

Legend Biotech Corp. ADR *

    1,261       60,805  

Parade Technologies Ltd.

    2,000       69,244  
   

 

 

 
    188,863  
   

 

 

 

Total Common Stocks
(Cost $165,277,377)

      138,404,415  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

289

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 2.1%

 

Repurchase Agreement - 2.0%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $2,944,808; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $3,002,640)

    $2,943,716       $2,943,716  
   

 

 

 

U.S. Treasury Bills - 0.1%

 

4.664% due 06/29/23 ‡

    100,000       98,882  
   

 

 

 

Total Short-Term Investments
(Cost $3,042,588)

      3,042,598  
   

 

 

 

TOTAL INVESTMENTS - 99.4%
(Cost $171,583,804)

      144,317,382  
   

 

 

 

DERIVATIVES - 0.1%

      183,711  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.5%

      688,557  
   

 

 

 

NET ASSETS - 100.0%

      $145,189,650  
   

 

 

 

Notes to Schedule of Investments

 

(a)

Investments with a total aggregate value of $1 or less than 0.1% of the Fund’s net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees.

    

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

290

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

(b)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
   Number of
Contracts
   Notional
Amount
   Value      Unrealized
Appreciation
(Depreciation)
 

MSCI Emerging Markets Index

   06/23    81    $3,848,064      $4,031,775        $183,711  
                    

 

 

 

 

(c)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

     $184        $184        $-        $-  
 

Warrants

     353        -        353        -  
 

Preferred Stocks

           
 

Brazil

     1,692,402        1,692,402        -        -  
 

Chile

     247,166        -        247,166        -  
 

Colombia

     61,004        61,004        -        -  
 

South Korea

     869,260        -        869,260        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Preferred Stocks

     2,869,832        1,753,406        1,116,426        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Common Stocks

           
 

Australia

     219,559        -        219,559        -  
 

Brazil

     5,140,097        5,140,097        -        -  
 

Chile

     538,539        484,077        54,462        -  
 

China

     45,893,650        3,753,632        42,140,018        -  
 

Colombia

     72,290        72,290        -        -  
 

Czech Republic

     251,796        168,821        82,975        -  
 

Egypt

     111,916        -        111,916        -  
 

Greece

     536,503        -        536,503        -  
 

Hong Kong

     248,993        -        248,993        -  
 

Hungary

     265,231        -        265,231        -  
 

India

     18,387,371        -        18,387,371        -  
 

Indonesia

     2,684,853        -        2,684,853        -  
 

Kuwait

     1,234,437        -        1,234,437        -  
 

Luxembourg

     60,546        60,546        -        -  
 

Malaysia

     2,058,320        193,337        1,864,983        -  
 

Mexico

     3,876,687        3,876,687        -        -  
 

Peru

     242,158        242,158        -        -  
 

Philippines

     995,535        -        995,535        -  
 

Poland

     945,892        -        945,892        -  
 

Qatar

     1,282,479        43,932        1,238,547        -  
 

Romania

     57,083        57,083        -        -  
 

Russia

     1        -        -        1  
 

Saudi Arabia

     5,557,414        74,776        5,482,638        -  
 

South Africa

     4,621,029        1,409,309        3,211,720        -  
 

South Korea

     16,033,771        70,976        15,962,795        -  
 

Taiwan

     21,234,373        -        21,234,373        -  
 

Thailand

     3,019,316        -        3,019,316        -  
 

Turkey

     868,093        116,020        752,073        -  
 

United Arab Emirates

     1,741,819        76,592        1,665,227        -  
 

United Kingdom

     35,801        -        35,801        -  
 

United States

     188,863        119,619        69,244        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     138,404,415        15,959,952        122,444,462        1  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     3,042,598        -        3,042,598        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     183,711        183,711        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $144,501,093        $17,897,253        $126,603,839        $1  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

291

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

PREFERRED STOCKS - 0.5%

 

Germany - 0.5%

 

Bayerische Motoren Werke AG

    2,166       $221,405  

Dr Ing hc F Porsche AG *

    4,154       533,162  

Henkel AG & Co. KGaA

    6,499       508,442  

Porsche Automobil Holding SE

    5,586       320,676  

Sartorius AG

    888       374,253  

Volkswagen AG

    6,773       924,327  
   

 

 

 
    2,882,265  
   

 

 

 

Total Preferred Stocks
(Cost $3,517,428)

      2,882,265  
   

 

 

 

COMMON STOCKS - 98.0%

 

Australia - 6.6%

 

ANZ Group Holdings Ltd.

    109,122       1,681,583  

BHP Group Ltd.

    184,804       5,842,380  

Coles Group Ltd.

    48,826       589,948  

Commonwealth Bank of Australia

    61,817       4,081,499  

Flutter Entertainment PLC *

    6,097       1,109,479  

Fortescue Metals Group Ltd.

    61,777       928,605  

Glencore PLC *

    375,755       2,162,175  

Goodman Group REIT

    61,740       783,470  

Macquarie Group Ltd.

    13,394       1,585,846  

National Australia Bank Ltd.

    115,010       2,143,022  

Newcrest Mining Ltd.

    32,603       581,976  

Ramsay Health Care Ltd.

    6,746       301,432  

Rio Tinto Ltd.

    13,542       1,088,096  

Rio Tinto PLC

    41,025       2,784,691  

Santos Ltd.

    115,125       529,851  

Telstra Group Ltd.

    147,530       417,717  

Transurban Group >>

    112,176       1,071,099  

Wesfarmers Ltd.

    41,388       1,398,853  

Westpac Banking Corp.

    127,723       1,859,597  

Woodside Energy Group Ltd.

    69,267       1,547,435  

Woolworths Group Ltd.

    44,378       1,128,209  
   

 

 

 
    33,616,963  
   

 

 

 

Austria - 0.0%

 

Verbund AG

    2,484       216,065  
   

 

 

 

Belgium - 0.7%

 

Anheuser-Busch InBev SA/NV

    31,687       2,112,250  

Groupe Bruxelles Lambert NV

    3,628       309,613  

KBC Group NV

    9,125       626,986  

UCB SA

    4,612       412,203  
   

 

 

 
    3,461,052  
   

 

 

 

Brazil - 0.2%

 

Wheaton Precious Metals Corp.

    16,488       794,083  
   

 

 

 

Canada - 10.3%

 

Agnico Eagle Mines Ltd.

    17,951       915,149  

Alimentation Couche-Tard, Inc.

    29,580       1,487,208  

Bank of Montreal

    24,701       2,200,153  

Bank of Nova Scotia

    43,462       2,189,018  

Barrick Gold Corp.

    13,874       260,723  

Barrick Gold Corp. (TSE)

    50,388       935,431  

BCE, Inc.

    2,661       119,199  

Brookfield Corp.

    51,677       1,683,565  

Canadian Imperial Bank of Commerce

    33,051       1,401,519  

Canadian National Railway Co.

    20,962       2,473,407  
   

Shares

   

Value

 

Canadian Natural Resources Ltd. (TSE)

    40,385       $2,234,846  

Canadian Pacific Railway Ltd.

    33,932       2,612,877  

Cenovus Energy, Inc.

    52,502       916,017  

CGI, Inc. *

    7,711       743,143  

Constellation Software, Inc.

    734       1,379,969  

Enbridge, Inc.

    73,867       2,816,401  

Fairfax Financial Holdings Ltd.

    828       550,670  

Fortis, Inc.

    17,522       744,831  

Franco-Nevada Corp.

    6,992       1,019,854  

George Weston Ltd.

    2,588       342,960  

Great-West Lifeco, Inc.

    10,198       270,287  

Hydro One Ltd. ~

    12,013       342,035  

Imperial Oil Ltd.

    7,723       392,750  

Intact Financial Corp.

    6,393       914,935  

Loblaw Cos. Ltd.

    5,921       539,615  

Magna International, Inc.

    9,905       530,539  

Manulife Financial Corp.

    68,716       1,260,937  

National Bank of Canada

    12,279       878,291  

Nutrien Ltd.

    18,977       1,401,476  

Pembina Pipeline Corp.

    20,121       651,792  

Power Corp. of Canada

    20,111       513,973  

Restaurant Brands International, Inc.

    10,630       713,622  

Rogers Communications, Inc. Class B (TSE)

    12,928       599,193  

Royal Bank of Canada

    50,448       4,824,568  

Shaw Communications, Inc. Class B (TSE)

    17,408       520,888  

Shopify, Inc. Class A *

    43,416       2,081,655  

Sun Life Financial, Inc.

    21,390       999,308  

Suncor Energy, Inc.

    49,394       1,533,535  

TC Energy Corp.

    36,917       1,435,980  

TELUS Corp.

    17,097       339,410  

Thomson Reuters Corp.

    6,140       798,859  

Toronto-Dominion Bank

    66,143       3,961,728  
   

 

 

 
    52,532,316  
   

 

 

 

China - 0.6%

 

BOC Hong Kong Holdings Ltd.

    135,000       420,289  

Budweiser Brewing Co. APAC Ltd. ~

    62,800       191,121  

Prosus NV *

    29,240       2,289,609  

Wilmar International Ltd.

    70,100       222,085  
   

 

 

 
    3,123,104  
   

 

 

 

Denmark - 3.0%

 

AP Moller - Maersk AS Class A

    113       200,467  

AP Moller - Maersk AS Class B

    183       332,641  

Carlsberg AS Class B

    3,551       550,997  

Coloplast AS Class B

    4,334       570,646  

DSV AS

    6,829       1,324,125  

Genmab AS *

    2,404       908,725  

Novo Nordisk AS Class B

    60,391       9,591,375  

Orsted AS ~

    6,901       588,434  

Vestas Wind Systems AS

    36,840       1,073,680  
   

 

 

 
    15,141,090  
   

 

 

 

Finland - 0.9%

 

Fortum OYJ

    16,366       250,703  

Kone OYJ Class B

    12,399       646,658  

Neste OYJ

    15,434       762,499  

Nokia OYJ (OMXH)

    197,412       969,073  

Nordea Bank Abp

    120,688       1,288,741  

Sampo OYJ Class A

    17,502       825,834  
   

 

 

 
    4,743,508  
   

 

 

 

France - 9.9%

 

Air Liquide SA

    19,094       3,196,118  

Airbus SE

    21,566       2,880,516  

AXA SA

    68,620       2,094,116  

BNP Paribas SA

    40,526       2,420,113  

Capgemini SE

    5,974       1,110,181  

Cie de Saint-Gobain

    17,874       1,016,022  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

292

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Cie Generale des Etablissements Michelin SCA

    24,749       $756,534  

Credit Agricole SA

    44,398       500,863  

Danone SA

    23,422       1,457,401  

Dassault Systemes SE

    24,315       1,003,019  

Engie SA

    66,630       1,054,399  

EssilorLuxottica SA

    10,609       1,913,044  

Hermes International

    1,155       2,339,170  

Kering SA

    2,732       1,782,432  

L’Oreal SA

    8,811       3,937,130  

LVMH Moet Hennessy Louis Vuitton SE

    10,098       9,269,038  

Orange SA

    72,780       864,639  

Pernod Ricard SA

    7,528       1,704,572  

Safran SA

    12,469       1,845,868  

Sartorius Stedim Biotech

    1,009       309,556  

Societe Generale SA

    29,454       663,638  

Thales SA

    3,893       575,567  

TotalEnergies SE

    90,770       5,352,132  

Vinci SA

    19,634       2,250,887  
   

 

 

 
    50,296,955  
   

 

 

 

Germany - 7.5%

 

adidas AG

    5,910       1,047,680  

Allianz SE

    14,713       3,396,291  

BASF SE

    33,507       1,759,072  

Bayer AG

    35,839       2,289,453  

Bayerische Motoren Werke AG

    12,079       1,323,841  

Beiersdorf AG

    3,677       478,331  

Daimler Truck Holding AG *

    16,512       557,264  

Deutsche Bank AG

    75,397       766,727  

Deutsche Boerse AG

    6,931       1,349,535  

Deutsche Post AG

    36,161       1,693,623  

Deutsche Telekom AG

    118,242       2,865,275  

E.ON SE

    81,904       1,021,729  

Fresenius SE & Co. KGaA

    15,410       416,120  

Hannover Rueck SE

    2,200       430,277  

Henkel AG & Co. KGaA

    3,792       275,856  

Infineon Technologies AG

    47,641       1,956,386  

Mercedes-Benz Group AG

    29,271       2,251,021  

Merck KGaA

    4,715       879,040  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    5,111       1,786,987  

RWE AG

    23,435       1,008,369  

SAP SE

    38,094       4,810,147  

Siemens AG

    27,908       4,521,205  

Siemens Healthineers AG ~

    10,288       593,124  

Volkswagen AG

    1,074       184,218  

Vonovia SE

    26,130       492,153  
   

 

 

 
    38,153,724  
   

 

 

 

Hong Kong - 2.4%

 

AIA Group Ltd.

    431,400       4,524,245  

CK Asset Holdings Ltd.

    72,562       439,919  

CLP Holdings Ltd.

    60,000       433,568  

Hang Seng Bank Ltd.

    27,900       396,608  

Henderson Land Development Co. Ltd.

    53,000       183,369  

Hong Kong & China Gas Co. Ltd.

    408,150       359,340  

Hong Kong Exchanges & Clearing Ltd.

    43,900       1,945,854  

Jardine Matheson Holdings Ltd.

    5,800       282,125  

Link REIT

    92,309       593,568  

MTR Corp. Ltd.

    56,500       272,685  

Prudential PLC

    100,296       1,373,215  

Sun Hung Kai Properties Ltd.

    53,000       742,509  

Techtronic Industries Co. Ltd.

    50,000       541,755  
   

 

 

 
    12,088,760  
   

 

 

 

Ireland - 0.4%

 

CRH PLC

    27,253       1,376,829  
   

Shares

   

Value

 

Kerry Group PLC Class A

    5,810       $579,404  
   

 

 

 
    1,956,233  
   

 

 

 

Israel - 0.2%

 

Check Point Software Technologies Ltd. *

    3,660       475,800  

ICL Group Ltd.

    25,864       175,243  

Nice Ltd. *

    2,318       528,037  
   

 

 

 
    1,179,080  
   

 

 

 

Italy - 1.6%

 

Assicurazioni Generali SpA

    40,522       807,385  

Enel SpA

    296,709       1,809,612  

Eni SpA

    91,203       1,271,950  

Ferrari NV

    4,598       1,245,983  

Intesa Sanpaolo SpA

    588,815       1,511,159  

Snam SpA

    73,564       390,039  

UniCredit SpA

    70,083       1,320,914  
   

 

 

 
    8,357,042  
   

 

 

 

Japan - 17.8%

 

Aeon Co. Ltd.

    23,900       463,679  

Ajinomoto Co., Inc.

    16,700       580,957  

Asahi Group Holdings Ltd.

    16,600       617,819  

Astellas Pharma, Inc.

    67,000       951,890  

Bandai Namco Holdings, Inc.

    21,900       472,145  

Bridgestone Corp.

    20,800       844,952  

Canon, Inc.

    36,500       812,850  

Central Japan Railway Co.

    5,300       632,394  

Chugai Pharmaceutical Co. Ltd.

    24,500       604,969  

Dai-ichi Life Holdings, Inc.

    35,700       656,290  

Daiichi Sankyo Co. Ltd.

    63,900       2,330,921  

Daikin Industries Ltd.

    9,100       1,632,599  

Daiwa House Industry Co. Ltd.

    21,900       515,992  

Denso Corp.

    15,800       891,869  

East Japan Railway Co.

    11,000       608,757  

Eisai Co. Ltd.

    9,200       522,556  

FANUC Corp.

    35,000       1,263,927  

Fast Retailing Co. Ltd.

    6,400       1,401,040  

FUJIFILM Holdings Corp.

    13,100       664,995  

Fujitsu Ltd.

    7,200       972,938  

Hitachi Ltd.

    35,300       1,940,112  

Honda Motor Co. Ltd.

    59,500       1,573,844  

Hoya Corp.

    13,000       1,436,659  

ITOCHU Corp.

    43,400       1,413,384  

Japan Post Bank Co. Ltd.

    53,800       439,409  

Japan Post Holdings Co. Ltd.

    86,700       703,655  

Japan Tobacco, Inc.

    43,800       925,211  

Kao Corp.

    17,000       661,730  

KDDI Corp.

    58,800       1,813,259  

Keyence Corp.

    7,100       3,479,769  

Kirin Holdings Co. Ltd.

    30,000       474,623  

Komatsu Ltd.

    33,700       836,607  

Kubota Corp.

    36,900       559,453  

Kyocera Corp.

    11,700       610,341  

M3, Inc.

    16,100       405,222  

Marubeni Corp.

    56,400       767,024  

Mitsubishi Corp.

    45,700       1,642,296  

Mitsubishi Electric Corp.

    70,500       842,484  

Mitsubishi Estate Co. Ltd.

    41,100       488,871  

Mitsubishi UFJ Financial Group, Inc.

    436,100       2,794,820  

Mitsui & Co. Ltd.

    52,300       1,630,183  

Mitsui Fudosan Co. Ltd.

    33,100       621,765  

Mizuho Financial Group, Inc.

    88,000       1,246,746  

MS&AD Insurance Group Holdings, Inc.

    15,600       483,457  

Murata Manufacturing Co. Ltd.

    21,000       1,279,850  

Nexon Co. Ltd.

    17,400       415,491  

Nidec Corp.

    16,300       848,268  

Nintendo Co. Ltd.

    40,300       1,565,315  

Nippon Paint Holdings Co. Ltd.

    30,300       284,914  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

293

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Nippon Telegraph & Telephone Corp.

    43,600       $1,302,886  

Nissan Motor Co. Ltd.

    84,700       320,555  

Nomura Holdings, Inc.

    106,200       409,435  

Nomura Research Institute Ltd.

    14,500       339,122  

NTT Data Corp.

    23,000       302,370  

Obic Co. Ltd.

    2,500       395,984  

Olympus Corp.

    44,600       783,299  

Omron Corp.

    6,800       397,983  

Oriental Land Co. Ltd.

    36,500       1,249,731  

ORIX Corp.

    43,600       718,877  

Otsuka Holdings Co. Ltd.

    14,200       450,844  

Panasonic Holdings Corp.

    80,600       721,137  

Recruit Holdings Co. Ltd.

    52,600       1,446,975  

Renesas Electronics Corp. *

    42,900       621,226  

Secom Co. Ltd.

    7,700       474,533  

Sekisui House Ltd.

    22,500       458,578  

Seven & i Holdings Co. Ltd.

    27,500       1,242,288  

Shimano, Inc.

    2,700       468,141  

Shin-Etsu Chemical Co. Ltd.

    67,500       2,191,119  

Shionogi & Co. Ltd.

    9,700       437,523  

Shiseido Co. Ltd.

    14,600       684,495  

SMC Corp.

    2,100       1,113,244  

SoftBank Corp.

    104,800       1,209,790  

SoftBank Group Corp.

    44,000       1,729,794  

Sompo Holdings, Inc.

    11,400       451,726  

Sony Group Corp.

    46,000       4,189,836  

Sumitomo Corp.

    41,100       728,101  

Sumitomo Mitsui Financial Group, Inc.

    47,600       1,904,836  

Sumitomo Realty & Development Co. Ltd.

    11,300       255,170  

Suzuki Motor Corp.

    13,400       487,993  

Sysmex Corp.

    6,100       400,352  

Takeda Pharmaceutical Co. Ltd.

    54,800       1,799,826  

Terumo Corp.

    23,600       638,269  

Tokio Marine Holdings, Inc.

    67,000       1,289,411  

Tokyo Electron Ltd.

    16,200       1,979,090  

Toshiba Corp.

    14,200       476,830  

Toyota Industries Corp.

    5,300       295,268  

Toyota Motor Corp.

    386,900       5,507,676  

Toyota Tsusho Corp.

    7,800       332,571  

Unicharm Corp.

    14,700       604,254  

Z Holdings Corp.

    97,500       276,456  
   

 

 

 
    90,715,895  
   

 

 

 

Luxembourg - 0.1%

 

ArcelorMittal SA

    19,214       582,113  
   

 

 

 

Macau - 0.2%

 

Galaxy Entertainment Group Ltd. *

    80,000       535,133  

Sands China Ltd. *

    88,400       307,101  
   

 

 

 
    842,234  
   

 

 

 

Netherlands - 5.4%

 

Adyen NV * ~

    791       1,260,402  

Akzo Nobel NV

    6,625       518,172  

Argenx SE *

    2,018       749,395  

ASML Holding NV

    14,707       10,022,055  

Heineken Holding NV

    4,203       385,617  

Heineken NV

    9,456       1,016,054  

ING Groep NV

    135,946       1,614,404  

Koninklijke Ahold Delhaize NV

    38,149       1,303,365  

Koninklijke DSM NV

    6,376       754,563  

Koninklijke Philips NV

    32,443       595,877  

Shell PLC

    257,472       7,337,584  

Universal Music Group NV

    26,463       670,169  

Wolters Kluwer NV

    9,394       1,185,865  
   

 

 

 
    27,413,522  
   

 

 

 
   

Shares

   

Value

 

Norway - 0.4%

 

Aker BP ASA

    11,528       $282,724  

DNB Bank ASA

    33,935       607,292  

Equinor ASA

    34,753       987,972  

Telenor ASA

    25,526       299,297  
   

 

 

 
    2,177,285  
   

 

 

 

Portugal - 0.1%

 

EDP - Energias de Portugal SA

    106,845       582,189  
   

 

 

 

Singapore - 1.4%

 

DBS Group Holdings Ltd.

    66,054       1,642,217  

Grab Holdings Ltd. Class A *

    47,517       143,026  

Oversea-Chinese Banking Corp. Ltd.

    123,557       1,151,771  

Sea Ltd. ADR *

    13,182       1,140,902  

Singapore Telecommunications Ltd.

    301,200       558,085  

STMicroelectronics NV

    24,933       1,328,522  

United Overseas Bank Ltd.

    43,100       966,692  
   

 

 

 
    6,931,215  
   

 

 

 

South Africa - 0.3%

 

Anglo American PLC

    46,356       1,541,870  
   

 

 

 

Spain - 2.5%

 

Aena SME SA * ~

    2,736       442,434  

Amadeus IT Group SA *

    16,434       1,102,451  

Banco Bilbao Vizcaya Argentaria SA

    219,982       1,572,730  

Banco Santander SA

    612,669       2,283,098  

CaixaBank SA (SIBE)

    161,731       631,067  

Cellnex Telecom SA ~

    20,618       801,785  

EDP Renovaveis SA

    9,225       211,307  

Endesa SA

    11,587       251,667  

Ferrovial SA

    17,777       523,486  

Iberdrola SA

    224,164       2,792,590  

Industria de Diseno Textil SA

    39,794       1,336,887  

Naturgy Energy Group SA

    5,306       159,729  

Telefonica SA

    189,615       816,636  
   

 

 

 
    12,925,867  
   

 

 

 

Sweden - 2.5%

 

Assa Abloy AB Class B

    36,564       875,798  

Atlas Copco AB Class A

    97,989       1,241,358  

Atlas Copco AB Class B

    56,941       654,977  

Epiroc AB Class A

    24,052       477,433  

Epiroc AB Class B

    14,213       242,338  

EQT AB

    12,969       264,923  

Essity AB Class B

    22,216       634,575  

Evolution AB ~

    6,670       893,636  

H & M Hennes & Mauritz AB Class B

    26,642       380,915  

Hexagon AB Class B

    71,005       817,225  

Investor AB Class A

    18,167       370,697  

Investor AB Class B

    66,488       1,324,480  

Sandvik AB

    38,896       825,598  

Skandinaviska Enskilda Banken AB Class A

    58,949       650,694  

Svenska Handelsbanken AB Class A

    53,209       460,836  

Swedbank AB Class A

    33,037       543,281  

Telefonaktiebolaget LM Ericsson Class B

    106,477       624,149  

Volvo AB Class A

    7,305       157,130  

Volvo AB Class B

    55,049       1,134,375  

Volvo Car AB Class B *

    21,811       95,416  
   

 

 

 
    12,669,834  
   

 

 

 

Switzerland - 5.4%

 

ABB Ltd.

    57,340       1,972,582  

Alcon, Inc.

    18,229       1,294,031  

Chocoladefabriken Lindt & Spruengli AG

    41       910,738  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

294

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

   

    

Shares

    

Value

 

Cie Financiere Richemont SA Class A

    19,043        $3,053,660  

Credit Suisse Group AG

    131,398        117,999  

Givaudan SA

    337        1,096,863  

Kuehne + Nagel International AG

    1,982        590,309  

Lonza Group AG

    2,717        1,635,632  

Novartis AG

    78,920        7,246,317  

Partners Group Holding AG

    828        779,746  

Schindler Holding AG

    2,342        510,410  

SGS SA

    232        511,734  

Sika AG

    5,328        1,494,480  

Sonova Holding AG

    1,896        559,298  

Swisscom AG

    945        603,072  

UBS Group AG (XVTX)

    122,151        2,584,812  

Zurich Insurance Group AG

    5,489        2,630,321  
    

 

 

 
     27,592,004  
    

 

 

 

United Arab Emirates - 0.0%

 

NMC Health PLC *

    4,009        9  
    

 

 

 

United Kingdom - 9.8%

 

Ashtead Group PLC

    16,019        983,644  

Associated British Foods PLC

    12,980        311,492  

AstraZeneca PLC

    56,527        7,832,057  

Aviva PLC

    102,258        510,792  

BAE Systems PLC

    112,690        1,363,112  

Barclays PLC

    578,403        1,041,070  

BP PLC

    662,024        4,184,335  

British American Tobacco PLC

    77,581        2,719,553  

BT Group PLC

    253,582        456,784  

CK Hutchison Holdings Ltd.

    98,000        606,291  

Coca-Cola Europacific Partners PLC

    7,500        443,925  

Compass Group PLC

    64,087        1,610,605  

Diageo PLC

    82,935        3,701,358  

HSBC Holdings PLC

    728,454        4,950,934  

Imperial Brands PLC

    32,663        751,107  

Legal & General Group PLC

    217,894        644,444  

Lloyds Banking Group PLC

    2,454,353        1,443,030  

London Stock Exchange Group PLC

    13,789        1,339,321  

National Grid PLC

    133,528        1,806,233  

NatWest Group PLC

    193,883        632,645  

Reckitt Benckiser Group PLC

    26,108        1,986,231  

RELX PLC

    69,872        2,262,937  

SSE PLC

    39,431        879,857  

Standard Chartered PLC

    89,762        680,312  

Tesco PLC

    270,026        885,261  

Unilever PLC

    92,477        4,792,065  

Vodafone Group PLC

    950,757        1,048,777  
    

 

 

 
     49,868,172  
    

 

 

 

United States - 7.8%

 

Brookfield Renewable Corp. Class A

    4,712        164,772  

CSL Ltd.

    17,592        3,407,050  

Experian PLC

    33,606        1,106,568  

GSK PLC

    148,381        2,621,790  

Haleon PLC

    185,285        736,032  

Holcim AG *

    20,223        1,304,208  

Nestle SA

    100,322        12,232,312  

Roche Holding AG

    26,603        7,615,956  

Sanofi

    41,615        4,514,342  

Schneider Electric SE

    19,792        3,307,714  

Stellantis NV

    82,057        1,492,311  

Swiss Re AG

    11,003        1,130,376  
    

 

 

 
     39,633,431  
    

 

 

 

Total Common Stocks
(Cost $481,541,586)

       499,135,615  
    

 

 

 
   

Principal
Amount

    

Value

 

SHORT-TERM INVESTMENTS - 0.4%

 

Repurchase Agreement - 0.3%

 

Fixed Income Clearing Corp.
4.450% due 04/03/23
(Dated 03/31/23, repurchase price of $1,296,531; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $1,322,039)

    $1,296,050        $1,296,050  
    

 

 

 

U.S. Treasury Bills - 0.1%

 

4.664% due 06/29/23 ‡

    300,000        296,647  
    

 

 

 

Total Short-Term Investments
(Cost $1,592,666)

       1,592,697  
    

 

 

 

TOTAL INVESTMENTS - 98.9%
(Cost $486,651,680)

       503,610,577  
    

 

 

 

DERIVATIVES - 0.1%

       380,518  
    

 

 

 

OTHER ASSETS & LIABILITIES, NET - 1.0%

 

     5,463,086  
    

 

 

 

NET ASSETS - 100.0%

       $509,454,181  
    

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

295

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

March 31, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Open futures contracts outstanding as of March 31, 2023 were as follows:

 

Long Futures Outstanding    Expiration
Month
     Number of
Contracts
     Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

MSCI EAFE Index

     06/23        63        $6,241,468        $6,603,975        $362,507  

S&P/TSX 60 Index

     06/23        4        697,756        715,767        18,011  
              

 

 

 

Total Futures Contracts

                 $380,518  
              

 

 

 

 

(b)

Fair Value Measurements

The following is a summary of the Fund’s investments as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities as of March 31, 2023:

 

           Total Value at
March 31, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Preferred Stocks

     $2,882,265        $-        $2,882,265        $-  
 

Common Stocks

           
 

Australia

     33,616,963        -        33,616,963        -  
 

Austria

     216,065        -        216,065        -  
 

Belgium

     3,461,052        -        3,461,052        -  
 

Brazil

     794,083        794,083        -        -  
 

Canada

     52,532,316        52,271,593        260,723        -  
 

China

     3,123,104        -        3,123,104        -  
 

Denmark

     15,141,090        -        15,141,090        -  
 

Finland

     4,743,508        -        4,743,508        -  
 

France

     50,296,955        -        50,296,955        -  
 

Germany

     38,153,724        -        38,153,724        -  
 

Hong Kong

     12,088,760        -        12,088,760        -  
 

Ireland

     1,956,233        -        1,956,233        -  
 

Israel

     1,179,080        475,800        703,280        -  
 

Italy

     8,357,042        -        8,357,042        -  
 

Japan

     90,715,895        -        90,715,895        -  
 

Luxembourg

     582,113        -        582,113        -  
 

Macau

     842,234        -        842,234        -  
 

Netherlands

     27,413,522        -        27,413,522        -  
 

Norway

     2,177,285        -        2,177,285        -  
 

Portugal

     582,189        -        582,189        -  
 

Singapore

     6,931,215        1,283,928        5,647,287        -  
 

South Africa

     1,541,870        -        1,541,870        -  
 

Spain

     12,925,867        -        12,925,867        -  
 

Sweden

     12,669,834        -        12,669,834        -  
 

Switzerland

     27,592,004        -        27,592,004        -  
 

United Arab Emirates

     9        -        9        -  
 

United Kingdom

     49,868,172        443,925        49,424,247        -  
 

United States

     39,633,431        164,772        39,468,659        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     499,135,615        55,434,101        443,701,514        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     1,592,697        -        1,592,697        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     380,518        380,518        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $503,991,095        $55,814,619        $448,176,476        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 297

 

296

PACIFIC SELECT FUND

Schedule of Investments (Continued)

Explanation of Symbols and Terms

March 31, 2023 (Unaudited)

 

 

 

 

Explanation of Symbols:

*            Non-income producing investments.
^    Investments with their principal amount adjusted for inflation.
§    Variable rate investments. The rate shown is based on the latest available information as of March 31, 2023. Interest rates for certain securities are subject to interest rate caps and floors, which would result in a period end rate being more, less, or equal to the referenced rate plus spread. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.
Y    Issuer filed bankruptcy and/or is in default as of March 31, 2023. If the maturity date has expired, no date will be shown.
µ    All or a portion of this senior loan position has not settled. Rates do not take effect until settlement date. Rates shown, if any, are for the settled portion.
#    Securities purchased on a when-issued basis. Rates do not take effect until settlement date.
~    Securities are not registered under the Securities Act of 1933 (1933 Act). These securities are either (1) exempt from registration pursuant to Rule 144A of the 1933 Act and may only be sold to “qualified institutional buyers”, or (2) the securities comply with Regulation S rules governing offers and sales made outside the United States without registration under the 1933 Act and contain certain restrictions as to public resale.
   Investments were fully or partially segregated with the broker(s)/custodian as collateral for delayed delivery securities, futures contracts, forward foreign currency contracts, option contracts and/or swap agreements as of March 31, 2023.
W    The values of these investments were determined by a valuation committee established under the Valuation Policy. The Board of Trustees (“Board”) has designated Pacific Life Fund Advisors LLC (“PLFA”) as its “valuation designee” for fair valuation determinations, and PLFA’s Valuation Oversight Committee values the Funds’ investments in accordance with the Valuation Policy. Each determination was made in good faith in accordance with the procedures established by the Board and the provisions of the Investment Company Act of 1940.
>>    Stapled security. A security contractually bound to one or more other securities to form a single saleable unit which cannot be sold separately.
±    Investments categorized as a significant unobservable input (Level 3).
f    All or a portion of this senior loan is unfunded as of March 31, 2023. The interest rate for fully unfunded terms loans is to be determined.
à    Restricted Securities. These securities are not registered and may not be sold to the public. There are legal and/or contractual restrictions on resale. The Trust does not have the right to demand that such securities be registered. The values of these securities are determined by valuations provided by pricing services, brokers, dealers, market makers, or in good faith under the procedures established by the Board.

 

Counterparty and Exchange Abbreviations:

ANZ    Australia and New Zealand Banking Group
BNP    BNP Paribas
BOA    Bank of America
BRC    Barclays
CBA    Commonwealth Bank of Australia
CBOE    Chicago Board of Options Exchange
CIT    Citigroup
CME    Chicago Mercantile Exchange
DUB    Deutsche Bank
GSC    Goldman Sachs
HSB    HSBC
ICE    Intercontinental Exchange Inc
JPM    JPMorgan Chase
LCH    London Clearing House
MSC    Morgan Stanley
NWM    Natwest Markets Plc
OCC    Options Clearing Corp
SCB    Standard Chartered Bank
TDB    Toronto Dominion Bank
UBS    UBS

 

Currency Abbreviations:

ARS    Argentine Peso
AUD    Australian Dollar
BRL    Brazilian Real
CAD    Canadian Dollar
CHF    Swiss Franc
CLP    Chilean Peso
CNH    Renminbi Offshore (Hong Kong)
COP    Colombian Peso
CZK    Czech Koruna
DKK    Danish Krone
EUR    Euro
GBP    British Pound
HUF    Hungarian Forint
IDR    Indonesian Rupiah
ILS    Israeli Shekel
INR    Indian Rupee
JPY    Japanese Yen
KRW    Korean Won
MXN    Mexican Peso
NOK    Norwegian Krone
NZD    New Zealand Dollar
PEN    Peruvian Nuevo Sol
PLN    Polish Zloty
RON    Romanian Leu
RUB    Russian Ruble
THB    Thai Baht
TWD    Taiwan Dollar
USD    United States Dollar
ZAR    South African Rand

 

Reference Rate Abbreviations:

LIBOR    London Interbank Offered Rate
SOFR    Secured Overnight Financing Rate
SONIA    Sterling Overnight Index Average
US FED    United States Federal Reserve Bank Rate
UST    United State Treasury Rate

 

Payment Frequency Abbreviations:

A    Annual
L    Lunar
Q    Quarterly
S    Semiannual
Z    At Maturity

 

Other Abbreviations:

ADR    American Depositary Receipt
GDR    Global Depositary Receipt
IO    Interest Only
NVDR    Non-Voting Depositary Receipt
NY    New York Shares
PIK    Payment In Kind
PO    Principal Only
REIT    Real Estate Investment Trust
SPAC    Special Purpose Acquisition Company

Notes:

For debt investments, the interest rates disclosed in the Schedules of Investments reflect the stated coupon rate or for discounted investments or zero coupon bonds, the yield-to-maturity.

The sectors and countries (based on country of risk) listed in the Schedules of Investments are obtained from a third-party source that is not affiliated with the Trust or the investment adviser, and are believed to be reliable. Sector names, country names and weightings could be different if obtained from another source.

 

 

See Supplemental Notes to Schedules of Investments  

 

297

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS

March 31, 2023 (Unaudited)

 

1. ORGANIZATION

Pacific Select Fund (the “Trust”) is registered under the Investment Company Act of 1940 (“1940 Act”), as amended, as a diversified, open-end, investment management company. The Trust was organized on May 4, 1987 as a Massachusetts business trust (the “Massachusetts Trust”), and was reorganized as a Delaware statutory trust on June 30, 2016. In connection with other actions taken to accomplish the reorganization, the Massachusetts Trust, as sole initial shareholder of each Fund of the Trust, approved all material agreements of the Trust, including the investment advisory and sub-advisory agreements. These agreements were also approved by the initial Trustees of the Trust, who served as the Trustees of the Massachusetts Trust prior to the reorganization.

Pacific Life Fund Advisors LLC (“PLFA” or the “Investment Adviser”) serves as investment adviser to the Trust. The Trust is comprised of separate funds (each individually a “Fund”, and collectively the “Funds”).

2. FAIR VALUE MEASUREMENTS AND DISCLOSURES

The Trust characterizes its investments as Level 1, Level 2, or Level 3 based upon the various inputs or methodologies used to value the investments. Under the Valuation Policy, the VOC determines the level in which each investment is characterized. The VOC includes investment, legal, and compliance members of the Trust’s Investment Adviser, accounting members of Pacific Life Insurance Company, and the Trust’s Chief Compliance Officer (“CCO”). The three-tier hierarchy of inputs is summarized in the three broad levels listed below:

 

      Level 1 –

Quoted prices (unadjusted) in active markets for identical investments

      Level 2 –

Significant observable market-based inputs, other than Level 1 quoted prices, or unobservable inputs that are corroborated by market data

      Level 3 –

Significant unobservable inputs that are not corroborated by observable market data

The VOC reviews the Valuation Policy periodically (at least annually) to determine the appropriateness of the pricing methodologies used to value each Fund’s investments. The VOC also periodically evaluates how the Trust’s investments are characterized within the three-tier hierarchy and the appropriateness of third party pricing sources. The VOC also periodically (at least annually) conducts back-testing of the value of various Level 2 and Level 3 investments to evaluate the effectiveness of the pricing methodologies including the unobservable inputs used to value those investments. Such back-testing includes comparing Level 2 and Level 3 investment values to subsequently available exchange-traded prices, transaction prices, and/or observable vendor prices. All changes to the Valuation Policy are reported to the Board on a quarterly basis with material changes, as determined by the Trust’s CCO, requiring approval by the Board.

The inputs or methodologies used for characterizing each Fund’s investments within the three-tier hierarchy are not necessarily an indication of the relative risks associated with investing in those investments. Foreign equity investments that are valued with the assistance of a statistical research service approved by the Board and based on significant observable inputs are reflected as Level 2. Changes in valuation techniques may result in transfers into or out of an assigned level within the hierarchy.

The following is a description of valuation inputs and techniques that the Trust currently utilizes to fair value each major category of assets and liabilities:

Equity Securities (Common and Preferred Stock) and Mutual Funds

Equity securities (foreign or domestic) that are actively traded on a securities exchange are fair valued based on quoted prices from the applicable exchange, and to the extent valuation adjustments are not applied to these securities, they are categorized as Level 1. Equity securities traded on inactive markets and certain foreign equity securities are fair valued using significant other observable inputs which include broker-dealer quotes, recently executed transactions adjusted for changes in the benchmark index, or evaluated price quotes received from pricing vendors that take into account the integrity of the market sector and issuer, the individual characteristics of the security, and information received from broker-dealers and other market sources pertaining to the issuer or security. To the extent that these inputs are observable and timely, the fair values of these securities would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Investments in registered mutual funds, including affiliated registered mutual funds, are valued at their respective published NAV and are categorized as Level 1.

U.S. Treasury Obligations

U.S. Treasuries are fair valued based on pricing models that evaluate the mean between the most recently published bid and ask price from market data sources. The models also take into consideration yield curves and data received from active market makers and inter-dealer brokers. Yield curves change daily in response to market conditions and are generally obtained from the new issue market and broker-dealer sources. To the extent that these inputs are observable and timely, the fair values of U.S. Treasury obligations would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Mortgage-Backed and Asset-Backed Securities

Mortgage-backed securities, including government sponsored enterprises, are fair valued using pricing models based on inputs that include issuer type, coupon, and cash flows, mortgage prepayment projection tables and adjustable rate mortgage evaluations that incorporate index data, periodic and life caps, the next coupon reset date, and the convertibility of the bond. To the extent that these inputs are observable and timely, the fair values of mortgage-backed securities would be categorized as Level 2; otherwise the fair value would be categorized as Level 3.

Asset-backed securities and collateralized mortgage obligations are fair valued using pricing models based on a security’s average life volatility. The models also take into account tranche characteristics such as coupon average life, collateral types, ratings, the issuer and tranche type, underlying collateral and performance of the collateral, and discount margin for certain floating rate issues. To the extent that these inputs are observable and timely, the fair values of asset-backed securities and collateralized mortgage obligations would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

 

298

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS (Continued)

March 31, 2023 (Unaudited)

 

Municipal Bonds

Municipal bonds are fair valued based on pricing models that take into account, among other factors, information received from market makers and broker-dealers, current trades, bid lists, offerings, market movements, the callability of the bond, state of issuance, benchmark yield curves, and bond insurance. To the extent that these inputs are observable and timely, the fair values of municipal bonds would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Foreign Government Bonds and Notes

Foreign government bonds and notes are fair valued based on discounted cash flow models that incorporate option adjusted spreads along with benchmark curves and credit spreads. In addition, international bond markets are monitored daily for information pertaining to the issuer and/or the specific issue. To the extent that these inputs are observable and timely, the fair values of foreign government bonds and notes would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Corporate Bonds and Notes and U.S. Government Agency Issues

Corporate bonds held by a Fund are generally comprised of two main categories: investment grade bonds and high yield bonds. Investment grade bonds are reported at fair value using various inputs and techniques, which include broker-dealer quotations, live trading levels, recently executed transactions in securities of the issuer or comparable issuers, issuer credit information, and option-adjusted spread models where applicable. Fair values for high yield bonds are based primarily on broker-dealer quotations from relevant market makers and recently executed transactions in securities of the issuer or comparable issuers. The broker-dealer quotations received are supported by credit analysis of the issuer that takes into consideration credit quality assessments, daily trading activity, and the activity of the underlying equities, listed bonds, and sector-specific trends. To the extent that these inputs are observable and timely, the fair values of corporate bonds would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

U.S. Government Agency Issues are reported at fair value using various inputs and techniques, which include broker-dealer quotations, live trading levels, recently executed transactions in securities of the issuer, issuer credit information, and option-adjusted spread models where applicable. To the extent that these inputs are observable and timely, the fair values of U.S. Government Agency Issues would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Futures Contracts

Futures contracts and options on futures contracts that are actively traded on commodity exchanges are fair valued based on quoted prices from the applicable exchange, and to the extent valuation adjustments are not applied to futures contracts, they are categorized as Level 1. To the extent that valuation adjustments are observable and timely, the fair values of futures contracts would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Option Contracts

Exchange listed option contracts that are traded on securities exchanges are categorized as Level 2 if they are fair valued based on quoted prices from the applicable exchange, or when valuation adjustments are applied to option contracts, or such valuation adjustments are observable and timely, otherwise the fair values would be categorized as Level 3. OTC option contracts are fair valued based on either broker-dealer quotations or pricing models that incorporate various inputs such as interest rates, credit spreads, currency exchange rates and volatility measurements for in-the-money, at-the-money, and out-of-the-money contracts based on a given strike price. To the extent that these inputs are observable and timely, the fair values of OTC option contracts would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Forward Foreign Currency Contracts

Forward foreign currency contracts are fair valued using the mean between broker-dealer bid and ask quotations, and forward foreign currency exchange rates gathered from leading market makers. To the extent that these inputs are observable and timely, the fair values of forward foreign currency contracts would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Forward Bond Contracts

Forward bond contracts are generally valued based on the current price of the underlying bond, as provided by a third-party pricing service, and current interest rates. To the extent that these inputs are observable and timely, the fair values of forward bonds would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Swap Agreements

Interest Rate Swaps – Interest rate swaps are fair valued using pricing models that are based on real-time snap shots of relevant interest rate curves that are built using the most actively traded securities for a given maturity. The pricing models also incorporate cash and money market rates. In addition, market data pertaining to interest rate swaps are monitored regularly to ensure that interest rates are properly depicting the current market rate. To the extent that these inputs are observable and timely, the fair values of interest rate swaps would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Credit Default Swaps – Credit default swaps are fair valued using pricing models that take into account, among other factors, information received from market makers and broker-dealers, default probabilities from index specific credit spread curves, recovery rates, and cash flows. To the extent that these inputs are observable and timely, the fair values of credit default swaps would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Total Return Swaps – Total return swaps are fair valued using pricing models that take into account among other factors, index spread curves, nominal values, modified duration values and cash flows. To the extent that these inputs are observable and timely, the fair values of total return swaps would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

 

299

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS (Continued)

March 31, 2023 (Unaudited)

 

Senior Loan Notes

Floating rate senior loan notes (“Senior Loans”) are fair valued based on a quoted price received from a single broker-dealer or an average of quoted prices received from multiple broker-dealers or valued relative to other benchmark securities when broker-dealer quotes are unavailable. To the extent that these inputs are observable, the fair values of Senior Loans would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.

Unfunded loan commitments on senior loan participations and assignments, if any, are marked to market daily and valued according to the Trust’s valuation policies and procedures.

The total unfunded loan commitments that could be extended at the option of the borrowers for the period ended March 31, 2023 are summarized in the following table:

 

Portfolio  

Unfunded

Loan

Commitments

    Value     Net
Unrealized
Appreciation
(Depreciation)
 

Diversified Bond

    $155,868       $145,347       ($10,521

Floating Rate Income

    99,065       101,794       2,729  

3. INVESTMENTS IN AFFILIATED FUNDS

A summary of holdings and transactions with affiliated mutual fund investments as of and for the period ended March 31, 2023 is as follows:

 

  

 

  Beginning
Value as of
January 1, 2023
    Purchase
Cost
    Sales
Proceeds
   

Net

Realized
Gain
(Loss)

    Change in
Unrealized
Appreciation
(Depreciation)
    As of March 31, 2023  
  Ending
Value
    Share
Balance
 

ESG Diversified

             

Pacific Funds ESG Core Bond Class I

    $2,482,737       $567,292       $6,141       ($951     $64,291       $3,107,228       361,726  
 

ESG Diversified Growth

             

Pacific Funds ESG Core Bond Class I

    $598,676       $308,359       $2,301       ($361     $16,300       $920,673       107,180  
 

Pacific Dynamix – Conservative Growth

             

PD 1-3 Year Corporate Bond Class P

    $28,620,678       $22,803,135       $540,270       $33,050       $327,018       $51,243,611       4,617,481  

PD Aggregate Bond Index Class P

    215,186,313       13,033,684       4,631,403       466,320       6,178,739       230,233,653       18,458,474  

PD High Yield Bond Market Class P

    57,074,225       8,087       27,323,723       2,805,183       (1,299,081     31,264,691       1,780,614  

PD Large-Cap Growth Index Class P

    58,194,749       143,802       10,317,803       3,931,201       3,932,732       55,884,681       840,392  

PD Large-Cap Value Index Class P

    62,692,209       5,261,391       2,365,492       718,846       176,477       66,483,431       1,645,789  

PD Mid-Cap Index Class P

    33,677,806       74,309       5,551,261       736,778       475,397       29,413,029       2,490,086  

PD Small-Cap Growth Index Class P

    2,552,649       2,703,505       232,774       (65,119     356,948       5,315,209       144,322  

PD Small-Cap Value Index Class P

    10,265,059       37,769       4,841,344       (882,055     697,455       5,276,884       171,123  

PD Emerging Markets Index Class P

    5,255,478       5,360,256       565,755       (169,520     646,197       10,526,656       622,456  

PD International Large-Cap Index Class P

    44,999,269       76,165       13,596,351       2,385,659       667,670       34,532,412       1,472,252  

Total

    $518,518,435       $49,502,103       $69,966,176       $9,960,343       $12,159,552       $520,174,257    
 

Pacific Dynamix – Moderate Growth

             

PD 1-3 Year Corporate Bond Class P

    $96,486,802       $130,150,388       $545,472       $48,775       $1,269,378       $227,409,871       20,491,544  

PD Aggregate Bond Index Class P

    622,379,275       55,895,253       4,132,819       430,589       18,871,899       693,444,197       55,595,355  

PD High Yield Bond Market Class P

    192,986,161       135,926       88,583,148       7,737,446       (2,599,969     109,676,416       6,246,386  

PD Large-Cap Growth Index Class P

    418,768,631       1,198,251       41,206,578       25,088,886       33,021,713       436,870,903       6,569,651  

PD Large-Cap Value Index Class P

    438,649,925       39,446,566       8,853,107       3,931,190       2,511,234       475,685,808       11,775,541  

PD Mid-Cap Index Class P

    204,015,410       -       58,589,496       6,797,298       (1,236,572     150,986,640       12,782,419  

PD Small-Cap Growth Index Class P

    23,305,037       13,000,219       856,365       (256,199     2,327,867       37,520,559       1,018,779  

PD Small-Cap Value Index Class P

    58,875,325       3,683       20,729,857       (3,882,486     2,898,256       37,164,921       1,205,210  

PD Emerging Markets Index Class P

    36,518,054       24,480,498       1,866,275       (43,085     2,726,812       61,816,004       3,655,267  

PD International Large-Cap Index Class P

    297,200,664       -       91,588,337       26,306,236       (6,418,137     225,500,426       9,613,969  

Total

    $2,389,185,284       $264,310,784       $316,951,454       $66,158,650       $53,372,481       $2,456,075,745    
 

Pacific Dynamix – Growth

             

PD 1-3 Year Corporate Bond Class P

    $43,521,954       $122,394,413       $56,776       $1,857       $709,447       $166,570,895       15,009,440  

PD Aggregate Bond Index Class P

    188,906,216       59,250,978       185,280       5,100       5,885,618       253,862,632       20,352,875  

PD High Yield Bond Market Class P

    112,220,115       701,116       62,125,716       8,075,565       (5,327,555     53,543,525       3,049,457  

PD Large-Cap Growth Index Class P

    362,031,425       3,447,316       74,798,304       42,844,959       5,680,203       339,205,599       5,100,963  

PD Large-Cap Value Index Class P

    376,623,299       57,924,654       1,177,093       490,330       6,062,015       439,923,205       10,890,242  

PD Mid-Cap Index Class P

    171,705,138       236,254       29,751,253       3,220,380       2,059,125       147,469,644       12,484,673  

PD Small-Cap Growth Index Class P

    42,159,967       1,402,912       356,839       (111,562     2,712,658       45,807,136       1,243,781  

PD Small-Cap Value Index Class P

    67,891,711       284,597       21,460,738       (2,780,491     1,521,011       45,456,090       1,474,082  

PD Emerging Markets Index Class P

    61,742,048       9,155,764       1,058,427       34,461       2,971,871       72,845,717       4,307,469  

PD International Large-Cap Index Class P

    297,637,001       -       69,139,132       19,438,782       1,384,372       249,321,023       10,629,534  

Total

    $1,724,438,874       $254,798,004       $260,109,558       $71,219,381       $23,658,765       $1,814,005,466    
 

Portfolio Optimization Conservative

             

Core Income Class P

    $46,158,428       $52,431,384       $1,828,680       $114,251       $2,022,472       $98,897,855       8,450,199  

Diversified Bond Class P

    205,012,875       935,574       45,140,270       1,955,063       4,096,331       166,859,573       12,249,352  

Floating Rate Income Class P

    52,792,915       38,115       37,110,153       1,091,814       570,785       17,383,476       1,208,982  

High Yield Bond Class P

    81,898,298       284,635       31,994,013       6,155,576       (3,853,466     52,491,030       5,189,013  

Inflation Managed Class P

    52,729,380       14,575       13,632,334       1,528,014       (68,270     40,571,365       2,953,009  

Intermediate Bond Class P

    156,656,884       90,986       15,856,029       (1,846,464     7,000,742       146,046,119       16,234,513  

Managed Bond Class P

    205,336,072       33,086       17,432,235       196,658       5,931,333       194,064,914       13,355,792  

Short Duration Bond Class P

    140,763,058       136,732       5,191,839       211,369       1,891,596       137,810,916       12,681,288  

Emerging Markets Debt Class P

    29,448,610       197,633       1,594,314       (127,550     1,121,423       29,045,802       2,489,984  

Dividend Growth Class P

    15,141,695       1,234,017       759,120       341,183       5,822       15,963,597       428,799  

Equity Index Class P

    10,285,707       440,494       815,231       376,798       405,950       10,693,718       98,234  

Focused Growth Class P

    13,272,753       5,516,748       1,688,935       (245,706     2,220,969       19,075,829       393,703  

Growth Class P

    10,210,757       8,306,466       983,026       349,284       1,112,332       18,995,813       353,444  

Large-Cap Core Class P

    10,234,665       6,771,282       895,558       384,042       702,032       17,196,463       261,321  

Large-Cap Growth Class P

    9,973,586       6,512,422       1,225,802       409,955       1,590,266       17,260,427       812,419  

Large-Cap Value Class P

    16,343,875       6,206,775       976,805       449,208       (117,819     21,905,234       614,809  

Mid-Cap Equity Class P

    6,925,454       5,222,841       654,300       279,119       150,795       11,923,909       333,109  

Mid-Cap Growth Class P

    13,612,373       4,384,670       1,849,333       94,825       1,637,253       17,879,788       656,424  

Mid-Cap Value Class P

    13,899,585       10,660,919       1,572,059       788,980       34,603       23,812,028       619,605  

Small-Cap Equity Class P

    8,531,541       203,225       5,683,096       (790,637     696,289       2,957,322       84,915  

Small-Cap Value Class P

    8,500,609       180,980       5,560,442       (925,887     756,690       2,951,950       94,308  

 

300

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS (Continued)

March 31, 2023 (Unaudited)

 

  

 

  Beginning
Value as of
January 1, 2023
    Purchase
Cost
    Sales
Proceeds
   

Net

Realized
Gain
(Loss)

    Change in
Unrealized
Appreciation
(Depreciation)
    As of March 31, 2023  
  Ending
Value
    Share
Balance
 

Value Class P

    15,260,001       9,728,151       968,393       412,493       (186,388     24,245,864       1,098,853  

Value Advantage Class P

    14,476,330       7,120,174       982,074       485,741       (365,511     20,734,660       882,854  

Emerging Markets Class P

    5,827,734       11,698,955       974,714       (274,314     1,315,096       17,592,757       932,714  

International Growth Class P

    2,916,351       16,181,147       856,260       (171,927     1,553,737       19,623,048       2,277,341  

International Large-Cap Class P

    5,259,173       3,076,071       753,639       109,295       607,838       8,298,738       594,873  

International Small-Cap Class P

    5,890,236       14,018       6,058,237       (386,919     540,902       -       -  

International Value Class P

    9,442,422       4,477       2,325,096       85,244       494,060       7,701,107       453,495  

Total

    $1,166,801,367       $157,626,552       $205,361,987       $11,049,508       $31,867,862       $1,161,983,302    
 

Portfolio Optimization Moderate-Conservative

             

Core Income Class P

    $54,702,177       $61,482,652       $1,610,249       ($37,035     $2,560,277       $117,097,822       10,005,272  

Diversified Bond Class P

    243,709,531       49,847       52,270,821       3,855,807       3,274,440       198,618,804       14,580,834  

Floating Rate Income Class P

    66,499,438       -       52,103,690       1,720,009       315,763       16,431,520       1,142,775  

High Yield Bond Class P

    116,218,895       -       69,314,294       5,946,398       (3,186,437     49,664,562       4,909,602  

Inflation Managed Class P

    58,007,614       26,978       18,444,073       2,743,192       (1,189,614     41,144,097       2,994,695  

Intermediate Bond Class P

    186,487,254       41,461       19,298,047       (2,246,694     8,380,345       173,364,319       19,271,209  

Managed Bond Class P

    244,071,521       42,439       21,309,954       1,307,631       5,942,201       230,053,838       15,832,595  

Short Duration Bond Class P

    82,953,511       96,039,896       1,386,036       52,833       1,120,333       178,780,537       16,451,291  

Emerging Markets Debt Class P

    25,201,269       4,578       9,414,318       (72,691     776,901       16,495,739       1,414,115  

Dividend Growth Class P

    40,585,961       5,681,446       1,071,513       478,654       549,519       46,224,067       1,241,628  

Equity Index Class P

    26,906,439       5,174,088       1,367,737       481,285       1,777,307       32,971,382       302,880  

Focused Growth Class P

    36,002,930       -       3,355,246       (493,828     5,158,423       37,312,279       770,082  

Growth Class P

    27,073,826       11,097,600       1,030,396       331,692       3,059,803       40,532,525       754,165  

Large-Cap Core Class P

    26,774,763       20,621,242       1,456,976       622,884       2,364,446       48,926,359       743,496  

Large-Cap Growth Class P

    24,980,975       6,780,907       769,706       267,651       4,316,256       35,576,083       1,674,506  

Large-Cap Value Class P

    41,573,185       6,465,986       1,314,360       600,872       (176,756     47,148,927       1,323,317  

Mid-Cap Equity Class P

    13,955,665       3,311,399       774,179       206,247       266,107       16,965,239       473,944  

Mid-Cap Growth Class P

    25,044,000       -       2,377,404       868,333       1,913,198       25,448,127       934,281  

Mid-Cap Value Class P

    34,796,383       1,242,531       2,855,043       1,131,976       (446,748     33,869,099       881,297  

Small-Cap Equity Class P

    10,574,472       -       3,849,278       (529,154     525,248       6,721,288       192,991  

Small-Cap Growth Class P

    2,438,940       3,415,813       274,832       112,657       265,852       5,958,430       200,025  

Small-Cap Index Class P

    11,239,082       -       5,480,059       2,320,168       (2,186,733     5,892,458       201,486  

Small-Cap Value Class P

    8,102,900       -       1,377,789       (174,049     154,050       6,705,112       214,214  

Value Class P

    39,332,915       16,701,653       1,488,142       282,779       (104,689     54,724,516       2,480,183  

Value Advantage Class P

    38,033,267       8,306,899       1,511,763       745,223       (922,787     44,650,839       1,901,172  

Emerging Markets Class P

    24,874,021       8,547,661       2,609,823       270,164       2,377,628       33,459,651       1,773,929  

International Growth Class P

    24,871,641       5,108,238       2,251,325       (456,398     3,335,391       30,607,547       3,552,141  

International Large-Cap Class P

    33,241,459       -       12,200,384       3,038,696       (348,710     23,731,061       1,701,098  

International Small-Cap Class P

    16,787,954       3,715       17,222,717       1,800,090       (1,369,042     -       -  

International Value Class P

    50,671,417       -       14,646,401       4,126,025       (1,199,048     38,951,993       2,293,767  

Real Estate Class P

    15,465,452       1,129,025       284,166       58,605       483,443       16,852,359       523,358  

Total

    $1,651,178,857       $261,276,054       $324,720,721       $29,360,022       $37,786,367       $1,654,880,579    
 

Portfolio Optimization Moderate

             

Core Income Class P

    $181,668,397       $141,860,437       $4,337,707       $389,675       $7,556,373       $327,137,175       27,951,813  

Diversified Bond Class P

    808,973,501       -       281,477,319       804,141       21,740,362       550,040,685       40,379,116  

Floating Rate Income Class P

    250,482,506       -       222,549,344       5,410,245       1,961,112       35,304,519       2,455,350  

High Yield Bond Class P

    357,046,620       -       188,077,525       26,962,560       (18,067,213     177,864,442       17,582,830  

Inflation Managed Class P

    141,721,348       -       4,649,507       703,272       3,763,897       141,539,010       10,301,994  

Intermediate Bond Class P

    618,155,170       -       156,072,996       (17,683,841     38,052,207       482,450,540       53,629,290  

Managed Bond Class P

    808,307,970       -       190,200,344       2,243,226       21,342,490       641,693,342       44,162,143  

Short Duration Bond Class P

    320,501,058       376,498,810       3,487,550       203,747       4,346,359       698,062,424       64,235,337  

Emerging Markets Debt Class P

    72,800,976       -       4,280,610       (323,936     2,741,295       70,937,725       6,081,215  

Dividend Growth Class P

    264,349,903       82,993,855       4,780,189       1,893,161       6,633,210       351,089,940       9,430,656  

Equity Index Class P

    175,555,675       76,779,399       7,015,427       2,446,014       14,406,529       262,172,190       2,408,352  

Focused Growth Class P

    237,941,873       17,251,178       2,695,365       (382,834     32,703,887       284,818,739       5,878,325  

Growth Class P

    190,983,577       58,879,675       3,771,434       1,157,237       21,888,773       269,137,828       5,007,688  

Large-Cap Core Class P

    174,589,455       178,163,166       7,291,266       3,327,257       18,169,823       366,958,435       5,576,380  

Large-Cap Growth Class P

    176,406,232       24,121,119       1,941,029       668,696       30,542,923       229,797,941       10,816,201  

Large-Cap Value Class P

    251,567,405       45,676,544       6,314,381       2,871,575       (48,915     293,752,228       8,244,669  

Mid-Cap Equity Class P

    81,159,789       -       9,362,205       2,104,993       (808,206     73,094,371       2,041,980  

Mid-Cap Growth Class P

    166,670,951       -       72,383,098       31,100,106       (15,806,365     109,581,594       4,023,088  

Mid-Cap Value Class P

    171,693,280       -       27,865,579       10,117,679       (7,981,873     145,963,507       3,798,068  

Small-Cap Equity Class P

    77,338,337       -       33,563,002       (4,824,418     4,490,943       43,441,860       1,247,361  

Small-Cap Growth Class P

    45,293,004       9,555,844       3,699,370       1,528,965       2,295,209       54,973,652       1,845,466  

Small-Cap Index Class P

    48,363,019       -       13,072,183       5,345,952       (4,370,084     36,266,704       1,240,100  

Small-Cap Value Class P

    76,893,241       -       28,986,343       (4,807,010     3,865,119       46,965,007       1,500,432  

Value Class P

    246,034,188       76,956,915       7,238,603       1,375,692       (1,627,852     315,500,340       14,298,867  

Value Advantage Class P

    231,951,000       55,595,886       7,095,369       2,666,690       (3,619,154     279,499,053       11,900,689  

Emerging Markets Class P

    107,471,664       70,645,587       11,027,006       1,141,165       11,784,958       180,016,368       9,543,920  

International Growth Class P

    157,635,682       87,317,914       14,456,160       (2,943,868     24,926,759       252,480,327       29,301,455  

International Large-Cap Class P

    187,242,780       -       50,369,186       12,667,868       3,704,306       153,245,768       10,985,018  

International Small-Cap Class P

    72,621,911       -       40,053,261       10,024,747       (6,328,633     36,264,764       2,200,694  

International Value Class P

    272,600,151       -       108,039,571       32,191,747       (18,089,790     178,662,537       10,520,906  

Real Estate Class P

    99,145,547       -       28,564,532       3,569,043       (1,627,154     72,522,904       2,252,232  

Total

    $7,073,166,210       $1,302,296,329       $1,544,717,461       $131,949,546       $198,541,295       $7,161,235,919    
 

Portfolio Optimization Growth

             

Core Income Class P

    $107,736,766       $98,861,665       $2,800,847       $167,319       $4,659,362       $208,624,265       17,825,631  

Diversified Bond Class P

    477,364,532       -       6,290,766       (45,305     14,827,496       485,855,957       35,667,242  

Floating Rate Income Class P

    98,488,503       -       101,237,741       6,622,479       (3,873,241     -       -  

High Yield Bond Class P

    196,947,124       -       4,449,969       573,546       6,179,626       199,250,327       19,696,936  

Inflation Managed Class P

    128,984,410       -       986,519       (91,407     4,209,141       132,115,625       9,616,108  

Intermediate Bond Class P

    363,474,496       -       5,604,370       (663,459     12,746,452       369,953,119       41,124,056  

Managed Bond Class P

    481,396,739       -       7,076,742       61,904       14,462,786       488,844,687       33,642,907  

Short Duration Bond Class P

    162,943,893       -       1,736,795       77,439       2,391,977       163,676,514       15,061,427  

Emerging Markets Debt Class P

    67,242,257       -       3,155,507       446,033       1,798,710       66,331,493       5,686,341  

Dividend Growth Class P

    339,652,186       -       2,795,048       955,432       5,671,309       343,483,879       9,226,349  

 

301

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS (Continued)

March 31, 2023 (Unaudited)

 

  

 

  Beginning
Value as of
January 1, 2023
    Purchase
Cost
    Sales
Proceeds
   

Net

Realized
Gain
(Loss)

    Change in
Unrealized
Appreciation
(Depreciation)
    As of March 31, 2023  
  Ending
Value
    Share
Balance
 

Equity Index Class P

    226,369,333       -       5,980,624       2,073,018       14,764,758       237,226,485       2,179,197  

Focused Growth Class P

    320,200,482       -       2,276,327       (336,660     42,724,697       360,312,192       7,436,421  

Growth Class P

    255,494,285       -       3,124,100       945,180       26,210,626       279,525,991       5,200,974  

Large-Cap Core Class P

    224,916,310       -       5,353,305       2,122,460       14,915,442       236,600,907       3,595,439  

Large-Cap Growth Class P

    237,581,571       -       2,166,233       742,597       39,614,652       275,772,587       12,980,150  

Large-Cap Value Class P

    309,209,521       -       4,269,348       1,683,704       (719,527     305,904,350       8,585,739  

Mid-Cap Equity Class P

    106,897,029       -       1,874,542       597,952       1,538,175       107,158,614       2,993,605  

Mid-Cap Growth Class P

    200,854,576       -       10,719,741       4,874,368       17,338,077       212,347,280       7,795,941  

Mid-Cap Value Class P

    241,307,151       -       12,723,209       6,206,642       (2,150,672     232,639,912       6,053,446  

Small-Cap Equity Class P

    84,509,932       -       3,942,898       2,351,545       (1,449,774     81,468,805       2,339,241  

Small-Cap Growth Class P

    38,564,519       -       2,115,746       883,857       1,879,821       39,212,451       1,316,362  

Small-Cap Index Class P

    54,073,410       -       1,829,062       849,101       724,755       53,818,204       1,840,254  

Small-Cap Value Class P

    80,662,268       -       3,862,563       1,773,057       (1,840,856     76,731,906       2,451,420  

Value Class P

    298,253,891       -       4,513,491       949,977       (5,760,406     288,929,971       13,094,665  

Value Advantage Class P

    286,645,908       -       4,640,304       1,799,949       (6,268,334     277,537,219       11,817,157  

Emerging Markets Class P

    165,549,244       -       12,644,720       3,653,775       11,521,367       168,079,666       8,911,072  

International Growth Class P

    252,514,387       -       17,387,960       (3,576,893     29,416,746       260,966,280       30,286,288  

International Large-Cap Class P

    227,774,185       -       18,952,196       5,072,506       17,544,518       231,439,013       16,590,094  

International Small-Cap Class P

    100,714,113       -       7,481,780       1,856,022       5,761,026       100,849,381       6,119,954  

International Value Class P

    261,270,865       -       28,552,908       11,755,239       6,105,513       250,578,709       14,755,836  

Real Estate Class P

    90,728,642       -       -       -       2,818,156       93,546,798       2,905,139  

Total

    $6,488,322,528       $98,861,665       $290,545,361       $54,381,377       $277,762,378       $6,628,782,587    
 

Portfolio Optimization Aggressive-Growth

             

Core Income Class P

    $12,345,355       $23,615,509       $327,200       $20,235       $620,073       $36,273,972       3,099,383  

Diversified Bond Class P

    53,685,035       -       417,983       (4,002     1,667,800       54,930,850       4,032,537  

Floating Rate Income Class P

    23,339,977       -       23,991,201       575,765       75,459       -       -  

High Yield Bond Class P

    46,658,820       -       743,576       93,871       1,508,309       47,517,424       4,697,346  

Inflation Managed Class P

    15,220,759       -       67,307       (6,008     492,670       15,640,114       1,138,374  

Intermediate Bond Class P

    41,351,624       -       451,463       (52,416     1,429,131       42,276,876       4,699,505  

Managed Bond Class P

    53,718,043       -       525,299       5,273       1,618,258       54,816,275       3,772,525  

Short Duration Bond Class P

    15,426,604       -       122,577       5,541       228,419       15,537,987       1,429,797  

Emerging Markets Debt Class P

    15,928,504       -       589,889       81,524       449,335       15,869,474       1,360,428  

Dividend Growth Class P

    90,045,861       -       339,524       112,478       1,641,006       91,459,821       2,456,710  

Equity Index Class P

    59,910,883       -       1,197,460       559,495       3,890,993       63,163,911       580,233  

Focused Growth Class P

    85,710,523       -       332,785       (47,798     11,404,653       96,734,593       1,996,489  

Growth Class P

    68,602,731       -       648,169       195,618       7,101,219       75,251,399       1,400,158  

Large-Cap Core Class P

    59,479,760       -       998,120       389,376       4,111,722       62,982,738       957,099  

Large-Cap Growth Class P

    63,067,400       -       364,777       125,522       10,595,000       73,423,145       3,455,903  

Large-Cap Value Class P

    80,684,866       -       574,915       224,544       17,610       80,352,105       2,255,222  

Mid-Cap Equity Class P

    26,820,194       -       98,253       51,746       469,828       27,243,515       761,080  

Mid-Cap Growth Class P

    54,482,569       -       2,244,843       1,012,749       4,995,973       58,246,448       2,138,412  

Mid-Cap Value Class P

    57,413,203       -       2,126,111       1,035,254       (115,553     56,206,793       1,462,538  

Small-Cap Equity Class P

    26,349,270       -       845,194       366,654       (114,198     25,756,532       739,556  

Small-Cap Growth Class P

    29,596,741       -       961,177       196,309       1,905,803       30,737,676       1,031,864  

Small-Cap Index Class P

    16,638,562       -       322,843       149,864       319,194       16,784,777       573,937  

Small-Cap Value Class P

    26,914,092       -       877,541       402,031       (462,802     25,975,780       829,871  

Value Class P

    78,095,772       -       748,756       155,939       (1,430,782     76,072,173       3,447,685  

Value Advantage Class P

    74,457,179       -       562,934       248,226       (1,443,778     72,698,693       3,095,411  

Emerging Markets Class P

    70,681,832       -       4,602,559       1,329,920       5,129,367       72,538,560       3,845,774  

International Growth Class P

    70,239,534       -       4,232,194       (889,354     8,084,353       73,202,339       8,495,454  

International Large-Cap Class P

    66,045,878       -       4,812,262       1,277,129       5,286,782       67,797,527       4,859,887  

International Small-Cap Class P

    47,804,784       -       2,980,035       731,021       2,883,607       48,439,377       2,939,500  

International Value Class P

    80,261,729       -       7,335,528       1,457,248       4,012,570       78,396,019       4,616,509  

Real Estate Class P

    28,568,254       -       -       -       887,369       29,455,623       914,758  

Total

    $1,539,546,338       $23,615,509       $64,442,475       $9,803,754       $77,259,390       $1,585,782,516    

As of March 31, 2023, Pacific Life owned the following percentages of the total shares outstanding (aggregate of all share classes) of each of the following Funds:

 

Portfolio  

Ownership

Percentage

 

ESG Diversified

    43.06%  

ESG Diversified Growth

    87.17%  

 

302